FONDNUMMER FONDBOLAG FONDNAMN VALUTA DATUM VALUTAKURS_KÖP VALUTAKURS_SÄLJ FONDKURS_KÖP FONDKURS_SÄLJ FONDKURS_SEK_KÖP FONDKURS_SEK_SÄLJ 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-04 6,728 6,718 7,021 7,021 47,237288 47,167078 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-05 6,828 6,818 6,891 6,891 47,051748 46,982838 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-07 6,87 6,86 6,858 6,858 47,11446 47,04588 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-10 6,96091 6,95091 6,847 6,847 47,66135077 47,59288077 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-11 6,96091 6,95091 6,871 6,871 47,82841261 47,75970261 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-12 6,913 6,903 6,846 6,846 47,326398 47,257938 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-13 6,843 6,833 6,927 6,927 47,401461 47,332191 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-14 6,915 6,905 6,914 6,914 47,81031 47,74117 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-17 6,915 6,905 6,98 6,98 48,2667 48,1969 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-18 6,968 6,958 6,987 6,987 48,685416 48,615546 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-19 6,91 6,9 6,994 6,994 48,32854 48,2586 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-20 6,96 6,95 6,944 6,944 48,33024 48,2608 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-21 6,978 6,968 6,921 6,921 48,294738 48,225528 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-24 6,933 6,923 6,909 6,909 47,900097 47,831007 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-25 6,95 6,94 6,945 6,945 48,26775 48,1983 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-26 6,995 6,985 6,962 6,962 48,69919 48,62957 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-27 6,93 6,92 6,968 6,968 48,28824 48,21856 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-28 6,985 6,975 7 7 48,895 48,825 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-01-31 6,998 6,988 7,039 7,039 49,258922 49,188532 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-01 6,993 6,983 7,026 7,026 49,132818 49,062558 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-02 6,953 6,943 7,051 7,051 49,025603 48,955093 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-03 6,968 6,958 7,107 7,107 49,521576 49,450506 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-04 7,01 7 7,118 7,118 49,89718 49,826 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-07 7,065 7,055 7,16 7,16 50,5854 50,5138 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-08 7,123 7,113 7,158 7,158 50,986434 50,914854 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-09 7,1 7,09 7,161 7,161 50,8431 50,77149 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-10 7,088 7,078 7,158 7,158 50,735904 50,664324 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-11 7,068 7,058 7,171 7,171 50,684628 50,612918 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-14 7,03 7,02 7,254 7,254 50,99562 50,92308 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-15 7,005 6,995 7,244 7,244 50,74422 50,67178 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-16 6,973 6,963 7,212 7,212 50,289276 50,217156 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-17 6,97 6,96 7,193 7,193 50,13521 50,06328 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-18 6,965 6,955 7,216 7,216 50,25944 50,18728 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-21 6,978 6,968 7,197 7,197 50,220666 50,148696 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-22 6,905 6,895 7,214 7,214 49,81267 49,74053 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-23 6,895 6,885 7,188 7,188 49,56126 49,48938 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-24 6,858 6,848 7,227 7,227 49,562766 49,490496 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-25 6,885 6,875 7,229 7,229 49,771665 49,699375 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-02-28 6,828 6,818 7,325 7,325 50,0151 49,94185 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-01 6,87 6,86 7,298 7,298 50,13726 50,06428 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-02 6,888 6,878 7,25 7,25 49,938 49,8655 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-03 6,903 6,893 7,283 7,283 50,274549 50,201719 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-04 6,9 6,89 7,259 7,259 50,0871 50,01451 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-07 6,84 6,83 7,307 7,307 49,97988 49,90681 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-08 6,825 6,815 7,323 7,323 49,979475 49,906245 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-09 6,76 6,75 7,353 7,353 49,70628 49,63275 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-10 6,745 6,735 7,339 7,339 49,501555 49,428165 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-11 6,765 6,755 7,342 7,342 49,66863 49,59521 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-14 6,76 6,75 7,324 7,324 49,51024 49,437 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-15 6,815 6,805 7,263 7,263 49,497345 49,424715 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-16 6,81 6,8 7,265 7,265 49,47465 49,402 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-18 6,828 6,818 7,218 7,218 49,284504 49,212324 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-21 6,908 6,898 7,187 7,187 49,647796 49,575926 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-22 6,928 6,918 7,151 7,151 49,542128 49,470618 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-23 6,973 6,963 7,069 7,069 49,292137 49,221447 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-24 7,008 6,998 7,052 7,052 49,420416 49,349896 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-29 7,055 7,045 6,992 6,992 49,32856 49,25864 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-30 7,053 7,043 6,967 6,967 49,138251 49,068581 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-03-31 7,065 7,055 7,05 7,05 49,80825 49,73775 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-01 7,07 7,06 7,01 7,01 49,5607 49,4906 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-04 7,113 7,103 6,998 6,998 49,776774 49,706794 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-05 7,163 7,153 6,986 6,986 50,040718 49,970858 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-06 7,125 7,115 7,005 7,005 49,910625 49,840575 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-07 7,083 7,073 7,027 7,027 49,772241 49,701971 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-08 7,153 7,143 7,046 7,046 50,400038 50,329578 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-11 7,098 7,088 7,035 7,035 49,93443 49,86408 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-12 7,048 7,038 7,044 7,044 49,646112 49,575672 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-13 7,075 7,065 7,071 7,071 50,027325 49,956615 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-14 7,12 7,11 6,992 6,992 49,78304 49,71312 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-15 7,17 7,16 6,89 6,89 49,4013 49,3324 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-18 7,08 7,07 6,754 6,754 47,81832 47,75078 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-19 7,068 7,058 6,811 6,811 48,140148 48,072038 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-20 7,043 7,033 6,853 6,853 48,265679 48,197149 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-21 7,025 7,015 6,879 6,879 48,324975 48,256185 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-22 7,023 7,013 6,908 6,908 48,514884 48,445804 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-25 7,04 7,03 6,935 6,935 48,8224 48,75305 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-26 7,035 7,025 6,941 6,941 48,829935 48,760525 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-27 7,085 7,075 6,911 6,911 48,964435 48,895325 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-28 7,085 7,075 6,911 6,911 48,964435 48,895325 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-04-29 7,08 7,07 6,885 6,885 48,7458 48,67695 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-03 7,178 7,168 6,911 6,911 49,607158 49,538048 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-04 7,11 7,1 6,943 6,943 49,36473 49,2953 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-06 7,085 7,075 7,048 7,048 49,93508 49,8646 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-09 7,168 7,158 7,054 7,054 50,563072 50,492532 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-10 7,178 7,168 7,053 7,053 50,626434 50,555904 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-11 7,15 7,14 7,031 7,031 50,27165 50,20134 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-12 7,243 7,233 7,03 7,03 50,91829 50,84799 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-13 7,265 7,255 6,996 6,996 50,82594 50,75598 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-16 7,32 7,31 6,993 6,993 51,18876 51,11883 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-17 7,313 7,303 6,965 6,965 50,935045 50,865395 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-18 7,3 7,29 7,001 7,001 51,1073 51,03729 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-19 7,26 7,25 7,046 7,046 51,15396 51,0835 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-20 7,28 7,27 7,045 7,045 51,2876 51,21715 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-23 7,32 7,31 7,041 7,041 51,54012 51,46971 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-24 7,295 7,285 7,047 7,047 51,407865 51,337395 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-25 7,298 7,288 7,017 7,017 51,210066 51,139896 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-26 7,33 7,32 7,017 7,017 51,43461 51,36444 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-27 7,338 7,328 7,072 7,072 51,894336 51,823616 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-05-31 7,403 7,393 7,084 7,084 52,442852 52,372012 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-01 7,428 7,418 7,07 7,07 52,51596 52,44526 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-02 7,473 7,463 7,083 7,083 52,931259 52,860429 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-03 7,438 7,428 7,122 7,122 52,973436 52,902216 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-07 7,448 7,438 7,162 7,162 53,342576 53,270956 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-08 7,435 7,425 7,179 7,179 53,375865 53,304075 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-09 7,523 7,513 7,176 7,176 53,985048 53,913288 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-10 7,525 7,515 7,218 7,218 54,31545 54,24327 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-13 7,643 7,633 7,203 7,203 55,052529 54,980499 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-14 7,663 7,653 7,202 7,202 55,188926 55,116906 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-15 7,693 7,683 7,248 7,248 55,758864 55,686384 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-16 7,678 7,668 7,263 7,263 55,765314 55,692684 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-17 7,643 7,633 7,281 7,281 55,648683 55,575873 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-20 7,543 7,533 7,284 7,284 54,943212 54,870372 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-21 7,648 7,638 7,272 7,272 55,616256 55,543536 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-22 7,608 7,598 7,325 7,325 55,7286 55,65535 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-23 7,73 7,72 7,365 7,365 56,93145 56,8578 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-27 7,73 7,72 7,287 7,287 56,32851 56,25564 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-28 7,76 7,75 7,287 7,287 56,54712 56,47425 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-29 7,833 7,823 7,254 7,254 56,820582 56,748042 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-06-30 7,823 7,813 7,274 7,274 56,904502 56,831762 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-01 7,858 7,848 7,275 7,275 57,16695 57,0942 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-04 7,945 7,935 7,27 7,27 57,76015 57,68745 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-05 7,963 7,953 7,251 7,251 57,739713 57,667203 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-06 7,895 7,885 7,287 7,287 57,530865 57,457995 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-07 7,878 7,868 7,252 7,252 57,131256 57,058736 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-08 7,913 7,903 7,23 7,23 57,21099 57,13869 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-11 7,89 7,88 7,355 7,355 58,03095 57,9574 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-12 7,77 7,76 7,41 7,41 57,5757 57,5016 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-13 7,703 7,693 7,445 7,445 57,348835 57,274385 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-14 7,76 7,75 7,48 7,48 58,0448 57,97 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-15 7,76 7,75 7,462 7,462 57,90512 57,8305 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-18 7,78 7,77 7,487 7,487 58,24886 58,17399 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-19 7,878 7,868 7,537 7,537 59,376486 59,301116 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-20 7,818 7,808 7,58 7,58 59,26044 59,18464 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-21 7,775 7,765 7,635 7,635 59,362125 59,285775 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-22 7,758 7,748 7,736 7,736 60,015888 59,938528 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-25 7,838 7,828 7,749 7,749 60,736662 60,659172 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-26 7,818 7,808 7,743 7,743 60,534774 60,457344 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-27 7,905 7,895 7,752 7,752 61,27956 61,20204 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-28 7,848 7,838 7,8 7,8 61,2144 61,1364 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-07-29 7,748 7,738 7,867 7,867 60,953516 60,874846 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-02 7,7 7,69 7,96 7,96 61,292 61,2124 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-03 7,685 7,675 7,977 7,977 61,303245 61,223475 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-04 7,618 7,608 7,944 7,944 60,517392 60,437952 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-05 7,548 7,538 7,897 7,897 59,606556 59,527586 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-08 7,558 7,548 7,882 7,882 59,572156 59,493336 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-09 7,548 7,538 7,864 7,864 59,357472 59,278832 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-10 7,558 7,548 7,92 7,92 59,85936 59,78016 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-11 7,523 7,513 7,988 7,988 60,093724 60,013844 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-12 7,46 7,45 8,025 8,025 59,8665 59,78625 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-15 7,508 7,498 7,986 7,986 59,958888 59,879028 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-16 7,523 7,513 7,942 7,942 59,747666 59,668246 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-17 7,605 7,595 7,916 7,916 60,20118 60,12202 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-18 7,61 7,6 7,843 7,843 59,68523 59,6068 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-19 7,698 7,688 7,843 7,843 60,375414 60,296984 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-22 7,69 7,68 7,922 7,922 60,92018 60,84096 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-23 7,663 7,653 7,899 7,899 60,530037 60,451047 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-24 7,673 7,663 7,826 7,826 60,048898 59,970638 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-25 7,588 7,578 7,853 7,853 59,588564 59,510034 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-26 7,578 7,568 7,857 7,857 59,540346 59,461776 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-30 7,633 7,623 7,74 7,74 59,07942 59,00202 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-08-31 7,668 7,658 7,768 7,768 59,565024 59,487344 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-01 7,568 7,558 7,851 7,851 59,416368 59,337858 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-02 7,435 7,425 7,891 7,891 58,669585 58,590675 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-05 7,41 7,4 7,883 7,883 58,41303 58,3342 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-06 7,485 7,475 7,902 7,902 59,14647 59,06745 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-07 7,43 7,42 7,94 7,94 58,9942 58,9148 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-08 7,498 7,488 7,943 7,943 59,556614 59,477184 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-09 7,523 7,513 7,939 7,939 59,725097 59,645707 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-12 7,555 7,545 7,994 7,994 60,39467 60,31473 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-13 7,57 7,56 8,017 8,017 60,68869 60,60852 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-14 7,61 7,6 8,061 8,061 61,34421 61,2636 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-15 7,658 7,648 8,084 8,084 61,907272 61,826432 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-16 7,613 7,603 8,076 8,076 61,482588 61,401828 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-19 7,698 7,688 8,096 8,096 62,323008 62,242048 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-20 7,688 7,678 8,189 8,189 62,957032 62,875142 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-21 7,663 7,653 8,166 8,166 62,576058 62,494398 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-22 7,648 7,638 8,088 8,088 61,857024 61,776144 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-23 7,733 7,723 8,024 8,024 62,049592 61,969352 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-26 7,798 7,788 8,141 8,141 63,483518 63,402108 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-27 7,825 7,815 8,146 8,146 63,74245 63,66099 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-28 7,81 7,8 8,206 8,206 64,08886 64,0068 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-29 7,785 7,775 8,263 8,263 64,327455 64,244825 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-09-30 7,785 7,775 8,277 8,277 64,436445 64,353675 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-03 7,783 7,773 8,256 8,256 64,256448 64,173888 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-04 7,82 7,81 8,306 8,306 64,95292 64,86986 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-05 7,795 7,785 8,27 8,27 64,46465 64,38195 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-06 7,713 7,703 8,126 8,126 62,675838 62,594578 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-07 7,683 7,673 8,119 8,119 62,378277 62,297087 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-10 7,698 7,688 8,154 8,154 62,769492 62,687952 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-11 7,77 7,76 8,153 8,153 63,34881 63,26728 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-12 7,805 7,795 8,065 8,065 62,947325 62,866675 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-13 7,83 7,82 7,972 7,972 62,42076 62,34104 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-14 7,833 7,823 7,915 7,915 61,998195 61,919045 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-17 7,835 7,825 7,861 7,861 61,590935 61,512325 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-18 7,893 7,883 7,858 7,858 62,023194 61,944614 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-19 7,96 7,95 7,695 7,695 61,2522 61,17525 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-20 7,93 7,92 7,701 7,701 61,06893 60,99192 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-21 7,883 7,873 7,743 7,743 61,038069 60,960639 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-24 7,995 7,985 7,698 7,698 61,54551 61,46853 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-25 7,99 7,98 7,731 7,731 61,77069 61,69338 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-26 7,868 7,858 7,802 7,802 61,386136 61,308116 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-27 7,868 7,858 7,75 7,75 60,977 60,8995 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-10-28 7,825 7,815 7,66 7,66 59,9395 59,8629 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-01 7,963 7,953 7,832 7,832 62,366216 62,287896 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-02 7,98 7,97 7,901 7,901 63,04998 62,97097 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-03 8,01 8 7,931 7,931 63,52731 63,448 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-04 8,028 8,018 7,942 7,942 63,758376 63,678956 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-07 8,135 8,125 7,915 7,915 64,388525 64,309375 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-08 8,17 8,16 7,968 7,968 65,09856 65,01888 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-09 8,12 8,11 8,01 8,01 65,0412 64,9611 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-10 8,173 8,163 8,028 8,028 65,612844 65,532564 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-11 8,235 8,225 8,105 8,105 66,744675 66,663625 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-14 8,133 8,123 8,119 8,119 66,031827 65,950637 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-15 8,185 8,175 8,104 8,104 66,33124 66,2502 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-16 8,21 8,2 8,12 8,12 66,6652 66,584 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-17 8,258 8,248 8,156 8,156 67,352248 67,270688 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-18 8,223 8,213 8,257 8,257 67,897311 67,814741 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-21 8,123 8,113 8,27 8,27 67,17721 67,09451 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-22 8,15 8,14 8,181 8,181 66,67515 66,59334 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-23 8,048 8,038 8,291 8,291 66,725968 66,643058 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-24 8,053 8,043 8,334 8,334 67,113702 67,030362 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-25 8,078 8,068 8,314 8,314 67,160492 67,077352 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-28 8,118 8,108 8,306 8,306 67,428108 67,345048 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-29 8,015 8,005 8,284 8,284 66,39626 66,31342 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-11-30 8,088 8,078 8,287 8,287 67,025256 66,942386 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-01 8,083 8,073 8,32 8,32 67,25056 67,16736 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-02 8,103 8,093 8,374 8,374 67,854522 67,770782 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-05 8,045 8,035 8,385 8,385 67,457325 67,373475 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-06 7,993 7,983 8,396 8,396 67,109228 67,025268 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-07 8,015 8,005 8,462 8,462 67,82293 67,73831 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-08 7,988 7,978 8,423 8,423 67,282924 67,198694 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-12 7,953 7,943 8,518 8,518 67,743654 67,658474 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-13 7,905 7,895 8,554 8,554 67,61937 67,53383 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-14 7,848 7,838 8,585 8,585 67,37508 67,28923 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-15 7,858 7,848 8,586 8,586 67,468788 67,382928 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-16 7,903 7,893 8,577 8,577 67,784031 67,698261 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-19 7,865 7,855 8,653 8,653 68,055845 67,969315 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-20 7,848 7,838 8,633 8,633 67,751784 67,665454 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-21 7,948 7,938 8,683 8,683 69,012484 68,925654 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-22 7,98 7,97 8,661 8,661 69,11478 69,02817 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-23 7,955 7,945 8,668 8,668 68,95394 68,86726 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-29 7,938 7,928 8,713 8,713 69,163794 69,076664 967125 Aberdeen International Management Ireland Limited Aberdeen International Asia Pacific Fund USD 2005-12-30 7,958 7,948 8,723 8,723 69,417634 69,330404 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-04 6,728 6,718 12,49 12,49 84,03272 83,90782 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-05 6,828 6,818 12,37 12,37 84,46236 84,33866 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-07 6,87 6,86 12,46 12,46 85,6002 85,4756 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-10 6,96091 6,95091 12,42 12,42 86,4545022 86,3303022 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-11 6,96091 6,95091 12,44 12,44 86,5937204 86,4693204 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-12 6,913 6,903 12,44 12,44 85,99772 85,87332 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-13 6,843 6,833 12,54 12,54 85,81122 85,68582 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-14 6,915 6,905 12,58 12,58 86,9907 86,8649 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-17 6,915 6,905 12,62 12,62 87,2673 87,1411 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-18 6,968 6,958 12,62 12,62 87,93616 87,80996 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-19 6,91 6,9 12,67 12,67 87,5497 87,423 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-20 6,96 6,95 12,66 12,66 88,1136 87,987 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-21 6,978 6,968 12,65 12,65 88,2717 88,1452 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-24 6,933 6,923 12,65 12,65 87,70245 87,57595 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-25 6,95 6,94 12,63 12,63 87,7785 87,6522 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-26 6,995 6,985 12,67 12,67 88,62665 88,49995 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-27 6,93 6,92 12,75 12,75 88,3575 88,23 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-28 6,985 6,975 12,77 12,77 89,19845 89,07075 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-01-31 6,998 6,988 12,83 12,83 89,78434 89,65604 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-01 6,993 6,983 12,86 12,86 89,92998 89,80138 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-02 6,953 6,943 12,93 12,93 89,90229 89,77299 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-03 6,968 6,958 12,97 12,97 90,37496 90,24526 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-04 7,01 7 12,93 12,93 90,6393 90,51 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-07 7,065 7,055 12,98 12,98 91,7037 91,5739 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-08 7,123 7,113 12,94 12,94 92,17162 92,04222 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-09 7,1 7,09 12,94 12,94 91,874 91,7446 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-10 7,088 7,078 12,94 12,94 91,71872 91,58932 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-11 7,068 7,058 12,97 12,97 91,67196 91,54226 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-14 7,03 7,02 13,11 13,11 92,1633 92,0322 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-15 7,005 6,995 13,2 13,2 92,466 92,334 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-16 6,973 6,963 13,26 13,26 92,46198 92,32938 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-17 6,97 6,96 13,22 13,22 92,1434 92,0112 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-18 6,965 6,955 13,29 13,29 92,56485 92,43195 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-21 6,978 6,968 13,29 13,29 92,73762 92,60472 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-22 6,905 6,895 13,34 13,34 92,1127 91,9793 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-23 6,895 6,885 13,32 13,32 91,8414 91,7082 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-24 6,858 6,848 13,41 13,41 91,96578 91,83168 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-25 6,885 6,875 13,38 13,38 92,1213 91,9875 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-02-28 6,828 6,818 13,42 13,42 91,63176 91,49756 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-01 6,87 6,86 13,43 13,43 92,2641 92,1298 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-02 6,888 6,878 13,43 13,43 92,50584 92,37154 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-03 6,903 6,893 13,55 13,55 93,53565 93,40015 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-04 6,9 6,89 13,51 13,51 93,219 93,0839 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-07 6,84 6,83 13,53 13,53 92,5452 92,4099 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-08 6,825 6,815 13,55 13,55 92,47875 92,34325 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-09 6,76 6,75 13,62 13,62 92,0712 91,935 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-10 6,745 6,735 13,6 13,6 91,732 91,596 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-11 6,765 6,755 13,56 13,56 91,7334 91,5978 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-14 6,76 6,75 13,56 13,56 91,6656 91,53 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-15 6,815 6,805 13,51 13,51 92,07065 91,93555 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-16 6,81 6,8 13,53 13,53 92,1393 92,004 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-18 6,828 6,818 13,54 13,54 92,45112 92,31572 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-21 6,908 6,898 13,39 13,39 92,49812 92,36422 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-22 6,928 6,918 13,44 13,44 93,11232 92,97792 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-23 6,973 6,963 13,32 13,32 92,88036 92,74716 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-24 7,008 6,998 13,18 13,18 92,36544 92,23364 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-29 7,055 7,045 13,14 13,14 92,7027 92,5713 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-30 7,053 7,043 13,09 13,09 92,32377 92,19287 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-03-31 7,065 7,055 13,24 13,24 93,5406 93,4082 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-01 7,07 7,06 13,27 13,27 93,8189 93,6862 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-04 7,113 7,103 13,22 13,22 94,03386 93,90166 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-05 7,163 7,153 13,19 13,19 94,47997 94,34807 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-06 7,125 7,115 13,25 13,25 94,40625 94,27375 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-07 7,083 7,073 13,24 13,24 93,77892 93,64652 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-08 7,153 7,143 13,22 13,22 94,56266 94,43046 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-11 7,098 7,088 13,27 13,27 94,19046 94,05776 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-12 7,048 7,038 13,27 13,27 93,52696 93,39426 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-13 7,075 7,065 13,29 13,29 94,02675 93,89385 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-14 7,12 7,11 13,18 13,18 93,8416 93,7098 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-15 7,17 7,16 13,14 13,14 94,2138 94,0824 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-18 7,08 7,07 13,02 13,02 92,1816 92,0514 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-19 7,068 7,058 13,07 13,07 92,37876 92,24806 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-20 7,043 7,033 13,1 13,1 92,2633 92,1323 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-21 7,025 7,015 13,11 13,11 92,09775 91,96665 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-22 7,023 7,013 13,16 13,16 92,42268 92,29108 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-25 7,04 7,03 13,17 13,17 92,7168 92,5851 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-26 7,035 7,025 13,21 13,21 92,93235 92,80025 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-27 7,085 7,075 13,14 13,14 93,0969 92,9655 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-28 7,085 7,075 13,1 13,1 92,8135 92,6825 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-04-29 7,08 7,07 13,08 13,08 92,6064 92,4756 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-03 7,178 7,168 13,13 13,13 94,24714 94,11584 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-04 7,11 7,1 13,16 13,16 93,5676 93,436 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-06 7,085 7,075 13,28 13,28 94,0888 93,956 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-09 7,168 7,158 13,32 13,32 95,47776 95,34456 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-10 7,178 7,168 13,34 13,34 95,75452 95,62112 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-11 7,15 7,14 13,3 13,3 95,095 94,962 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-12 7,243 7,233 13,33 13,33 96,54919 96,41589 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-13 7,265 7,255 13,26 13,26 96,3339 96,2013 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-16 7,32 7,31 13,2 13,2 96,624 96,492 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-17 7,313 7,303 13,19 13,19 96,45847 96,32657 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-18 7,3 7,29 13,23 13,23 96,579 96,4467 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-19 7,26 7,25 13,23 13,23 96,0498 95,9175 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-20 7,28 7,27 13,24 13,24 96,3872 96,2548 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-23 7,32 7,31 13,25 13,25 96,99 96,8575 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-24 7,295 7,285 13,29 13,29 96,95055 96,81765 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-25 7,298 7,288 13,22 13,22 96,47956 96,34736 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-26 7,33 7,32 13,22 13,22 96,9026 96,7704 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-27 7,338 7,328 13,25 13,25 97,2285 97,096 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-05-31 7,403 7,393 13,29 13,29 98,38587 98,25297 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-01 7,428 7,418 13,25 13,25 98,421 98,2885 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-02 7,473 7,463 13,24 13,24 98,94252 98,81012 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-03 7,438 7,428 13,36 13,36 99,37168 99,23808 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-07 7,448 7,438 13,41 13,41 99,87768 99,74358 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-08 7,435 7,425 13,42 13,42 99,7777 99,6435 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-09 7,523 7,513 13,4 13,4 100,8082 100,6742 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-10 7,525 7,515 13,42 13,42 100,9855 100,8513 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-13 7,643 7,633 13,37 13,37 102,18691 102,05321 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-14 7,663 7,653 13,4 13,4 102,6842 102,5502 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-15 7,693 7,683 13,45 13,45 103,47085 103,33635 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-16 7,678 7,668 13,48 13,48 103,49944 103,36464 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-17 7,643 7,633 13,5 13,5 103,1805 103,0455 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-20 7,543 7,533 13,51 13,51 101,90593 101,77083 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-21 7,648 7,638 13,53 13,53 103,47744 103,34214 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-22 7,608 7,598 13,6 13,6 103,4688 103,3328 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-23 7,73 7,72 13,7 13,7 105,901 105,764 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-27 7,73 7,72 13,63 13,63 105,3599 105,2236 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-28 7,76 7,75 13,6 13,6 105,536 105,4 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-29 7,833 7,823 13,59 13,59 106,45047 106,31457 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-06-30 7,823 7,813 13,59 13,59 106,31457 106,17867 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-01 7,858 7,848 13,6 13,6 106,8688 106,7328 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-04 7,945 7,935 13,57 13,57 107,81365 107,67795 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-05 7,963 7,953 13,54 13,54 107,81902 107,68362 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-06 7,895 7,885 13,57 13,57 107,13515 106,99945 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-07 7,878 7,868 13,48 13,48 106,19544 106,06064 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-08 7,913 7,903 13,45 13,45 106,42985 106,29535 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-11 7,89 7,88 13,6 13,6 107,304 107,168 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-12 7,77 7,76 13,66 13,66 106,1382 106,0016 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-13 7,703 7,693 13,69 13,69 105,45407 105,31717 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-14 7,76 7,75 13,72 13,72 106,4672 106,33 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-15 7,76 7,75 13,73 13,73 106,5448 106,4075 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-18 7,78 7,77 13,75 13,75 106,975 106,8375 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-19 7,878 7,868 13,76 13,76 108,40128 108,26368 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-20 7,818 7,808 13,81 13,81 107,96658 107,82848 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-21 7,775 7,765 13,81 13,81 107,37275 107,23465 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-22 7,758 7,748 13,94 13,94 108,14652 108,00712 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-25 7,838 7,828 13,94 13,94 109,26172 109,12232 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-26 7,818 7,808 13,96 13,96 109,13928 108,99968 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-27 7,905 7,895 14,03 14,03 110,90715 110,76685 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-28 7,848 7,838 14,11 14,11 110,73528 110,59418 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-07-29 7,748 7,738 14,24 14,24 110,33152 110,18912 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-02 7,7 7,69 14,36 14,36 110,572 110,4284 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-03 7,685 7,675 14,46 14,46 111,1251 110,9805 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-04 7,618 7,608 14,52 14,52 110,61336 110,46816 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-05 7,548 7,538 14,51 14,51 109,52148 109,37638 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-08 7,558 7,548 14,51 14,51 109,66658 109,52148 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-09 7,548 7,538 14,53 14,53 109,67244 109,52714 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-10 7,558 7,548 14,6 14,6 110,3468 110,2008 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-11 7,523 7,513 14,58 14,58 109,68534 109,53954 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-12 7,46 7,45 14,59 14,59 108,8414 108,6955 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-15 7,508 7,498 14,52 14,52 109,01616 108,87096 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-16 7,523 7,513 14,43 14,43 108,55689 108,41259 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-17 7,605 7,595 14,46 14,46 109,9683 109,8237 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-18 7,61 7,6 14,45 14,45 109,9645 109,82 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-19 7,698 7,688 14,4 14,4 110,8512 110,7072 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-22 7,69 7,68 14,43 14,43 110,9667 110,8224 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-23 7,663 7,653 14,51 14,51 111,19013 111,04503 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-24 7,673 7,663 14,38 14,38 110,33774 110,19394 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-25 7,588 7,578 14,4 14,4 109,2672 109,1232 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-26 7,578 7,568 14,46 14,46 109,57788 109,43328 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-30 7,633 7,623 14,34 14,34 109,45722 109,31382 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-08-31 7,668 7,658 14,39 14,39 110,34252 110,19862 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-01 7,568 7,558 14,48 14,48 109,58464 109,43984 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-02 7,435 7,425 14,55 14,55 108,17925 108,03375 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-05 7,41 7,4 14,54 14,54 107,7414 107,596 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-06 7,485 7,475 14,5 14,5 108,5325 108,3875 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-07 7,43 7,42 14,56 14,56 108,1808 108,0352 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-08 7,498 7,488 14,57 14,57 109,24586 109,10016 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-09 7,523 7,513 14,57 14,57 109,61011 109,46441 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-12 7,555 7,545 14,64 14,64 110,6052 110,4588 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-13 7,57 7,56 14,66 14,66 110,9762 110,8296 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-14 7,61 7,6 14,71 14,71 111,9431 111,796 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-15 7,658 7,648 14,72 14,72 112,72576 112,57856 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-16 7,613 7,603 14,76 14,76 112,36788 112,22028 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-19 7,698 7,688 14,78 14,78 113,77644 113,62864 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-20 7,688 7,678 14,84 14,84 114,08992 113,94152 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-21 7,663 7,653 14,82 14,82 113,56566 113,41746 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-22 7,648 7,638 14,83 14,83 113,41984 113,27154 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-23 7,733 7,723 14,78 14,78 114,29374 114,14594 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-26 7,798 7,788 14,83 14,83 115,64434 115,49604 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-27 7,825 7,815 14,85 14,85 116,20125 116,05275 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-28 7,81 7,8 14,9 14,9 116,369 116,22 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-29 7,785 7,775 14,98 14,98 116,6193 116,4695 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-09-30 7,785 7,775 15,08 15,08 117,3978 117,247 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-03 7,783 7,773 15,09 15,09 117,44547 117,29457 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-04 7,82 7,81 15,23 15,23 119,0986 118,9463 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-05 7,795 7,785 15,2 15,2 118,484 118,332 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-06 7,713 7,703 15,1 15,1 116,4663 116,3153 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-07 7,683 7,673 15,12 15,12 116,16696 116,01576 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-10 7,698 7,688 15,27 15,27 117,54846 117,39576 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-11 7,77 7,76 15,31 15,31 118,9587 118,8056 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-12 7,805 7,795 15,26 15,26 119,1043 118,9517 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-13 7,83 7,82 15,18 15,18 118,8594 118,7076 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-14 7,833 7,823 15,16 15,16 118,74828 118,59668 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-17 7,835 7,825 15,03 15,03 117,76005 117,60975 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-18 7,893 7,883 14,97 14,97 118,15821 118,00851 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-19 7,96 7,95 14,78 14,78 117,6488 117,501 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-20 7,93 7,92 14,74 14,74 116,8882 116,7408 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-21 7,883 7,873 14,75 14,75 116,27425 116,12675 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-24 7,995 7,985 14,74 14,74 117,8463 117,6989 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-25 7,99 7,98 14,79 14,79 118,1721 118,0242 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-26 7,868 7,858 14,79 14,79 116,36772 116,21982 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-27 7,868 7,858 14,73 14,73 115,89564 115,74834 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-10-28 7,825 7,815 14,72 14,72 115,184 115,0368 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-01 7,963 7,953 14,88 14,88 118,48944 118,34064 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-02 7,98 7,97 14,94 14,94 119,2212 119,0718 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-03 8,01 8 14,96 14,96 119,8296 119,68 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-04 8,028 8,018 14,94 14,94 119,93832 119,78892 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-07 8,135 8,125 14,92 14,92 121,3742 121,225 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-08 8,17 8,16 14,96 14,96 122,2232 122,0736 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-09 8,12 8,11 14,99 14,99 121,7188 121,5689 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-10 8,173 8,163 15,01 15,01 122,67673 122,52663 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-11 8,235 8,225 15,12 15,12 124,5132 124,362 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-14 8,133 8,123 15,09 15,09 122,72697 122,57607 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-15 8,185 8,175 15,07 15,07 123,34795 123,19725 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-16 8,21 8,2 15,11 15,11 124,0531 123,902 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-17 8,258 8,248 15,12 15,12 124,86096 124,70976 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-18 8,223 8,213 15,18 15,18 124,82514 124,67334 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-21 8,123 8,113 15,18 15,18 123,30714 123,15534 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-22 8,15 8,14 15,13 15,13 123,3095 123,1582 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-23 8,048 8,038 15,33 15,33 123,37584 123,22254 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-24 8,053 8,043 15,36 15,36 123,69408 123,54048 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-25 8,078 8,068 15,32 15,32 123,75496 123,60176 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-28 8,118 8,108 15,23 15,23 123,63714 123,48484 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-29 8,015 8,005 15,19 15,19 121,74785 121,59595 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-11-30 8,088 8,078 15,3 15,3 123,7464 123,5934 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-01 8,083 8,073 15,29 15,29 123,58907 123,43617 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-02 8,103 8,093 15,37 15,37 124,54311 124,38941 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-05 8,045 8,035 15,47 15,47 124,45615 124,30145 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-06 7,993 7,983 15,46 15,46 123,57178 123,41718 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-07 8,015 8,005 15,54 15,54 124,5531 124,3977 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-08 7,988 7,978 15,52 15,52 123,97376 123,81856 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-12 7,953 7,943 15,64 15,64 124,38492 124,22852 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-13 7,905 7,895 15,68 15,68 123,9504 123,7936 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-14 7,848 7,838 15,71 15,71 123,29208 123,13498 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-15 7,858 7,848 15,76 15,76 123,84208 123,68448 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-16 7,903 7,893 15,74 15,74 124,39322 124,23582 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-19 7,865 7,855 15,8 15,8 124,267 124,109 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-20 7,848 7,838 15,78 15,78 123,84144 123,68364 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-21 7,948 7,938 15,81 15,81 125,65788 125,49978 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-22 7,98 7,97 15,77 15,77 125,8446 125,6869 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-23 7,955 7,945 15,77 15,77 125,45035 125,29265 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-29 7,938 7,928 15,94 15,94 126,53172 126,37232 705988 Aberdeen International Management Ireland Limited Aberdeen International Asian Smaller Companies Fund USD 2005-12-30 7,958 7,948 16 16 127,328 127,168 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-04 6,728 6,718 10,96 10,96 73,73888 73,62928 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-05 6,828 6,818 10,78 10,78 73,60584 73,49804 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-07 6,87 6,86 10,75 10,75 73,8525 73,745 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-10 6,96091 6,95091 10,75 10,75 74,8297825 74,7222825 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-11 6,96091 6,95091 10,77 10,77 74,9690007 74,8613007 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-12 6,913 6,903 10,78 10,78 74,52214 74,41434 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-13 6,843 6,833 10,83 10,83 74,10969 74,00139 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-14 6,915 6,905 10,82 10,82 74,8203 74,7121 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-17 6,915 6,905 10,87 10,87 75,16605 75,05735 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-18 6,968 6,958 10,94 10,94 76,22992 76,12052 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-19 6,91 6,9 10,97 10,97 75,8027 75,693 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-20 6,96 6,95 10,89 10,89 75,7944 75,6855 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-21 6,978 6,968 10,81 10,81 75,43218 75,32408 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-24 6,933 6,923 10,72 10,72 74,32176 74,21456 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-25 6,95 6,94 10,77 10,77 74,8515 74,7438 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-26 6,995 6,985 10,78 10,78 75,4061 75,2983 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-27 6,93 6,92 10,79 10,79 74,7747 74,6668 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-28 6,985 6,975 10,81 10,81 75,50785 75,39975 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-01-31 6,998 6,988 10,83 10,83 75,78834 75,68004 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-01 6,993 6,983 10,82 10,82 75,66426 75,55606 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-02 6,953 6,943 10,84 10,84 75,37052 75,26212 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-03 6,968 6,958 10,83 10,83 75,46344 75,35514 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-04 7,01 7 10,88 10,88 76,2688 76,16 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-07 7,065 7,055 11,02 11,02 77,8563 77,7461 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-08 7,123 7,113 11,02 11,02 78,49546 78,38526 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-09 7,1 7,09 11,02 11,02 78,242 78,1318 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-10 7,088 7,078 11,02 11,02 78,10976 77,99956 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-11 7,068 7,058 11,02 11,02 77,88936 77,77916 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-14 7,03 7,02 11,1 11,1 78,033 77,922 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-15 7,005 6,995 11,09 11,09 77,68545 77,57455 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-16 6,973 6,963 11,12 11,12 77,53976 77,42856 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-17 6,97 6,96 11,06 11,06 77,0882 76,9776 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-18 6,965 6,955 11,07 11,07 77,10255 76,99185 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-21 6,978 6,968 11,08 11,08 77,31624 77,20544 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-22 6,905 6,895 11,09 11,09 76,57645 76,46555 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-23 6,895 6,885 11,06 11,06 76,2587 76,1481 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-24 6,858 6,848 11,17 11,17 76,60386 76,49216 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-25 6,885 6,875 11,22 11,22 77,2497 77,1375 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-02-28 6,828 6,818 11,27 11,27 76,95156 76,83886 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-01 6,87 6,86 11,26 11,26 77,3562 77,2436 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-02 6,888 6,878 11,13 11,13 76,66344 76,55214 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-03 6,903 6,893 11,19 11,19 77,24457 77,13267 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-04 6,9 6,89 11,08 11,08 76,452 76,3412 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-07 6,84 6,83 11,15 11,15 76,266 76,1545 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-08 6,825 6,815 11,21 11,21 76,50825 76,39615 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-09 6,76 6,75 11,24 11,24 75,9824 75,87 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-10 6,745 6,735 11,18 11,18 75,4091 75,2973 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-11 6,765 6,755 11,2 11,2 75,768 75,656 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-14 6,76 6,75 11,22 11,22 75,8472 75,735 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-15 6,815 6,805 11,18 11,18 76,1917 76,0799 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-16 6,81 6,8 11,23 11,23 76,4763 76,364 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-18 6,828 6,818 11,19 11,19 76,40532 76,29342 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-21 6,908 6,898 11,17 11,17 77,16236 77,05066 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-22 6,928 6,918 11,17 11,17 77,38576 77,27406 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-23 6,973 6,963 11,06 11,06 77,12138 77,01078 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-24 7,008 6,998 11,03 11,03 77,29824 77,18794 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-29 7,055 7,045 11 11 77,605 77,495 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-30 7,053 7,043 10,96 10,96 77,30088 77,19128 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-03-31 7,065 7,055 10,99 10,99 77,64435 77,53445 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-01 7,07 7,06 10,87 10,87 76,8509 76,7422 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-04 7,113 7,103 10,93 10,93 77,74509 77,63579 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-05 7,163 7,153 10,93 10,93 78,29159 78,18229 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-06 7,125 7,115 10,97 10,97 78,16125 78,05155 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-07 7,083 7,073 11,03 11,03 78,12549 78,01519 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-08 7,153 7,143 11,08 11,08 79,25524 79,14444 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-11 7,098 7,088 11,04 11,04 78,36192 78,25152 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-12 7,048 7,038 11 11 77,528 77,418 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-13 7,075 7,065 11,06 11,06 78,2495 78,1389 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-14 7,12 7,11 11 11 78,32 78,21 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-15 7,17 7,16 10,92 10,92 78,2964 78,1872 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-18 7,08 7,07 10,72 10,72 75,8976 75,7904 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-19 7,068 7,058 10,83 10,83 76,54644 76,43814 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-20 7,043 7,033 10,81 10,81 76,13483 76,02673 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-21 7,025 7,015 10,87 10,87 76,36175 76,25305 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-22 7,023 7,013 10,96 10,96 76,97208 76,86248 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-25 7,04 7,03 11 11 77,44 77,33 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-26 7,035 7,025 11,09 11,09 78,01815 77,90725 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-27 7,085 7,075 11,01 11,01 78,00585 77,89575 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-28 7,085 7,075 11,02 11,02 78,0767 77,9665 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-04-29 7,08 7,07 10,97 10,97 77,6676 77,5579 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-03 7,178 7,168 11,02 11,02 79,10156 78,99136 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-04 7,11 7,1 11,03 11,03 78,4233 78,313 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-06 7,085 7,075 11,16 11,16 79,0686 78,957 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-09 7,168 7,158 11,19 11,19 80,20992 80,09802 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-10 7,178 7,168 11,17 11,17 80,17826 80,06656 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-11 7,15 7,14 11,1 11,1 79,365 79,254 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-12 7,243 7,233 11,14 11,14 80,68702 80,57562 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-13 7,265 7,255 11,08 11,08 80,4962 80,3854 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-16 7,32 7,31 11,07 11,07 81,0324 80,9217 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-17 7,313 7,303 10,98 10,98 80,29674 80,18694 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-18 7,3 7,29 10,95 10,95 79,935 79,8255 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-19 7,26 7,25 10,97 10,97 79,6422 79,5325 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-20 7,28 7,27 11,01 11,01 80,1528 80,0427 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-23 7,32 7,31 10,97 10,97 80,3004 80,1907 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-24 7,295 7,285 11 11 80,245 80,135 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-25 7,298 7,288 10,96 10,96 79,98608 79,87648 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-26 7,33 7,32 10,96 10,96 80,3368 80,2272 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-27 7,338 7,328 11,11 11,11 81,52518 81,41408 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-05-31 7,403 7,393 11,23 11,23 83,13569 83,02339 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-01 7,428 7,418 11,22 11,22 83,34216 83,22996 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-02 7,473 7,463 11,2 11,2 83,6976 83,5856 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-03 7,438 7,428 11,23 11,23 83,52874 83,41644 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-07 7,448 7,438 11,28 11,28 84,01344 83,90064 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-08 7,435 7,425 11,32 11,32 84,1642 84,051 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-09 7,523 7,513 11,29 11,29 84,93467 84,82177 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-10 7,525 7,515 11,3 11,3 85,0325 84,9195 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-13 7,643 7,633 11,31 11,31 86,44233 86,32923 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-14 7,663 7,653 11,29 11,29 86,51527 86,40237 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-15 7,693 7,683 11,27 11,27 86,70011 86,58741 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-16 7,678 7,668 11,3 11,3 86,7614 86,6484 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-17 7,643 7,633 11,31 11,31 86,44233 86,32923 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-20 7,543 7,533 11,35 11,35 85,61305 85,49955 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-21 7,648 7,638 11,33 11,33 86,65184 86,53854 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-22 7,608 7,598 11,43 11,43 86,95944 86,84514 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-23 7,73 7,72 11,45 11,45 88,5085 88,394 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-27 7,73 7,72 11,45 11,45 88,5085 88,394 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-28 7,76 7,75 11,46 11,46 88,9296 88,815 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-29 7,833 7,823 11,46 11,46 89,76618 89,65158 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-06-30 7,823 7,813 11,43 11,43 89,41689 89,30259 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-01 7,858 7,848 11,44 11,44 89,89552 89,78112 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-04 7,945 7,935 11,47 11,47 91,12915 91,01445 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-05 7,963 7,953 11,47 11,47 91,33561 91,22091 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-06 7,895 7,885 11,54 11,54 91,1083 90,9929 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-07 7,878 7,868 11,45 11,45 90,2031 90,0886 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-08 7,913 7,903 11,4 11,4 90,2082 90,0942 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-11 7,89 7,88 11,51 11,51 90,8139 90,6988 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-12 7,77 7,76 11,54 11,54 89,6658 89,5504 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-13 7,703 7,693 11,63 11,63 89,58589 89,46959 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-14 7,76 7,75 11,72 11,72 90,9472 90,83 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-15 7,76 7,75 11,71 11,71 90,8696 90,7525 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-18 7,78 7,77 11,76 11,76 91,4928 91,3752 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-19 7,878 7,868 11,79 11,79 92,88162 92,76372 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-20 7,818 7,808 11,89 11,89 92,95602 92,83712 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-21 7,775 7,765 11,95 11,95 92,91125 92,79175 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-22 7,758 7,748 12,02 12,02 93,25116 93,13096 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-25 7,838 7,828 12,02 12,02 94,21276 94,09256 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-26 7,818 7,808 11,99 11,99 93,73782 93,61792 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-27 7,905 7,895 12,07 12,07 95,41335 95,29265 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-28 7,848 7,838 12,04 12,04 94,48992 94,36952 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-07-29 7,748 7,738 12,11 12,11 93,82828 93,70718 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-02 7,7 7,69 12,27 12,27 94,479 94,3563 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-03 7,685 7,675 12,29 12,29 94,44865 94,32575 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-04 7,618 7,608 12,3 12,3 93,7014 93,5784 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-05 7,548 7,538 12,26 12,26 92,53848 92,41588 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-08 7,558 7,548 12,3 12,3 92,9634 92,8404 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-09 7,548 7,538 12,26 12,26 92,53848 92,41588 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-10 7,558 7,548 12,36 12,36 93,41688 93,29328 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-11 7,523 7,513 12,45 12,45 93,66135 93,53685 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-12 7,46 7,45 12,46 12,46 92,9516 92,827 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-15 7,508 7,498 12,46 12,46 93,54968 93,42508 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-16 7,523 7,513 12,42 12,42 93,43566 93,31146 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-17 7,605 7,595 12,46 12,46 94,7583 94,6337 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-18 7,61 7,6 12,27 12,27 93,3747 93,252 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-19 7,698 7,688 12,19 12,19 93,83862 93,71672 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-22 7,69 7,68 12,25 12,25 94,2025 94,08 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-23 7,663 7,653 12,16 12,16 93,18208 93,06048 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-24 7,673 7,663 12,09 12,09 92,76657 92,64567 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-25 7,588 7,578 12,11 12,11 91,89068 91,76958 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-26 7,578 7,568 12,19 12,19 92,37582 92,25392 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-30 7,633 7,623 12,13 12,13 92,58829 92,46699 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-08-31 7,668 7,658 12,11 12,11 92,85948 92,73838 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-01 7,568 7,558 12,2 12,2 92,3296 92,2076 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-02 7,435 7,425 12,24 12,24 91,0044 90,882 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-05 7,41 7,4 12,23 12,23 90,6243 90,502 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-06 7,485 7,475 12,23 12,23 91,54155 91,41925 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-07 7,43 7,42 12,25 12,25 91,0175 90,895 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-08 7,498 7,488 12,19 12,19 91,40062 91,27872 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-09 7,523 7,513 12,19 12,19 91,70537 91,58347 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-12 7,555 7,545 12,23 12,23 92,39765 92,27535 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-13 7,57 7,56 12,2 12,2 92,354 92,232 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-14 7,61 7,6 12,22 12,22 92,9942 92,872 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-15 7,658 7,648 12,19 12,19 93,35102 93,22912 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-16 7,613 7,603 12,16 12,16 92,57408 92,45248 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-19 7,698 7,688 12,16 12,16 93,60768 93,48608 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-20 7,688 7,678 12,23 12,23 94,02424 93,90194 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-21 7,663 7,653 12,17 12,17 93,25871 93,13701 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-22 7,648 7,638 12,14 12,14 92,84672 92,72532 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-23 7,733 7,723 12,1 12,1 93,5693 93,4483 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-26 7,798 7,788 12,2 12,2 95,1356 95,0136 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-27 7,825 7,815 12,14 12,14 94,9955 94,8741 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-28 7,81 7,8 12,14 12,14 94,8134 94,692 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-29 7,785 7,775 12,28 12,28 95,5998 95,477 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-09-30 7,785 7,775 12,37 12,37 96,30045 96,17675 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-03 7,783 7,773 12,35 12,35 96,12005 95,99655 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-04 7,82 7,81 12,37 12,37 96,7334 96,6097 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-05 7,795 7,785 12,24 12,24 95,4108 95,2884 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-06 7,713 7,703 12,06 12,06 93,01878 92,89818 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-07 7,683 7,673 12,05 12,05 92,58015 92,45965 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-10 7,698 7,688 12,08 12,08 92,99184 92,87104 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-11 7,77 7,76 12,07 12,07 93,7839 93,6632 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-12 7,805 7,795 11,92 11,92 93,0356 92,9164 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-13 7,83 7,82 11,9 11,9 93,177 93,058 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-14 7,833 7,823 11,79 11,79 92,35107 92,23317 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-17 7,835 7,825 11,78 11,78 92,2963 92,1785 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-18 7,893 7,883 11,79 11,79 93,05847 92,94057 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-19 7,96 7,95 11,64 11,64 92,6544 92,538 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-20 7,93 7,92 11,62 11,62 92,1466 92,0304 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-21 7,883 7,873 11,62 11,62 91,60046 91,48426 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-24 7,995 7,985 11,53 11,53 92,18235 92,06705 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-25 7,99 7,98 11,52 11,52 92,0448 91,9296 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-26 7,868 7,858 11,53 11,53 90,71804 90,60274 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-27 7,868 7,858 11,46 11,46 90,16728 90,05268 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-10-28 7,825 7,815 11,36 11,36 88,892 88,7784 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-01 7,963 7,953 11,63 11,63 92,60969 92,49339 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-02 7,98 7,97 11,66 11,66 93,0468 92,9302 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-03 8,01 8 11,7 11,7 93,717 93,6 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-04 8,028 8,018 11,74 11,74 94,24872 94,13132 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-07 8,135 8,125 11,61 11,61 94,44735 94,33125 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-08 8,17 8,16 11,58 11,58 94,6086 94,4928 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-09 8,12 8,11 11,66 11,66 94,6792 94,5626 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-10 8,173 8,163 11,67 11,67 95,37891 95,26221 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-11 8,235 8,225 11,73 11,73 96,59655 96,47925 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-14 8,133 8,123 11,68 11,68 94,99344 94,87664 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-15 8,185 8,175 11,7 11,7 95,7645 95,6475 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-16 8,21 8,2 11,71 11,71 96,1391 96,022 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-17 8,258 8,248 11,78 11,78 97,27924 97,16144 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-18 8,223 8,213 11,92 11,92 98,01816 97,89896 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-21 8,123 8,113 11,96 11,96 97,15108 97,03148 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-22 8,15 8,14 11,92 11,92 97,148 97,0288 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-23 8,048 8,038 12,04 12,04 96,89792 96,77752 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-24 8,053 8,043 12,07 12,07 97,19971 97,07901 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-25 8,078 8,068 12,06 12,06 97,42068 97,30008 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-28 8,118 8,108 12,04 12,04 97,74072 97,62032 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-29 8,015 8,005 12 12 96,18 96,06 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-11-30 8,088 8,078 12,01 12,01 97,13688 97,01678 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-01 8,083 8,073 12,03 12,03 97,23849 97,11819 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-02 8,103 8,093 12,09 12,09 97,96527 97,84437 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-05 8,045 8,035 12,1 12,1 97,3445 97,2235 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-06 7,993 7,983 12,03 12,03 96,15579 96,03549 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-07 8,015 8,005 12,09 12,09 96,90135 96,78045 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-08 7,988 7,978 12,01 12,01 95,93588 95,81578 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-12 7,953 7,943 12,18 12,18 96,86754 96,74574 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-13 7,905 7,895 12,16 12,16 96,1248 96,0032 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-14 7,848 7,838 12,16 12,16 95,43168 95,31008 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-15 7,858 7,848 12,23 12,23 96,10334 95,98104 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-16 7,903 7,893 12,21 12,21 96,49563 96,37353 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-19 7,865 7,855 12,26 12,26 96,4249 96,3023 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-20 7,848 7,838 12,27 12,27 96,29496 96,17226 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-21 7,948 7,938 12,29 12,29 97,68092 97,55802 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-22 7,98 7,97 12,26 12,26 97,8348 97,7122 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-23 7,955 7,945 12,29 12,29 97,76695 97,64405 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-29 7,938 7,928 12,26 12,26 97,31988 97,19728 102954 Aberdeen International Management Ireland Limited Aberdeen International China Opportunities Fund USD 2005-12-30 7,958 7,948 12,26 12,26 97,56508 97,44248 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-04 6,728 6,718 39,94 39,94 268,71632 268,31692 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-05 6,828 6,818 38,23 38,23 261,03444 260,65214 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-07 6,87 6,86 37,87 37,87 260,1669 259,7882 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-10 6,96091 6,95091 37,29 37,29 259,5723339 259,1994339 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-11 6,96091 6,95091 36,72 36,72 255,6046152 255,2374152 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-12 6,913 6,903 35,94 35,94 248,45322 248,09382 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-13 6,843 6,833 36,63 36,63 250,65909 250,29279 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-14 6,915 6,905 35,96 35,96 248,6634 248,3038 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-17 6,915 6,905 36,14 36,14 249,9081 249,5467 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-18 6,968 6,958 36,46 36,46 254,05328 253,68868 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-19 6,91 6,9 36,24 36,24 250,4184 250,056 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-20 6,96 6,95 35,94 35,94 250,1424 249,783 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-21 6,978 6,968 35,98 35,98 251,06844 250,70864 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-24 6,933 6,923 35,67 35,67 247,30011 246,94341 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-25 6,95 6,94 36,04 36,04 250,478 250,1176 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-26 6,995 6,985 36,07 36,07 252,30965 251,94895 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-27 6,93 6,92 36,39 36,39 252,1827 251,8188 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-28 6,985 6,975 36,88 36,88 257,6068 257,238 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-01-31 6,998 6,988 37,57 37,57 262,91486 262,53916 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-01 6,993 6,983 37,64 37,64 263,21652 262,84012 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-02 6,953 6,943 38 38 264,214 263,834 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-03 6,968 6,958 38,43 38,43 267,78024 267,39594 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-04 7,01 7 38,32 38,32 268,6232 268,24 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-07 7,065 7,055 38,12 38,12 269,3178 268,9366 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-08 7,123 7,113 38,09 38,09 271,31507 270,93417 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-09 7,1 7,09 38,22 38,22 271,362 270,9798 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-10 7,088 7,078 38,1 38,1 270,0528 269,6718 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-11 7,068 7,058 38,51 38,51 272,18868 271,80358 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-14 7,03 7,02 38,96 38,96 273,8888 273,4992 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-15 7,005 6,995 38,91 38,91 272,56455 272,17545 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-16 6,973 6,963 38,56 38,56 268,87888 268,49328 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-17 6,97 6,96 38,54 38,54 268,6238 268,2384 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-18 6,965 6,955 38,37 38,37 267,24705 266,86335 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-21 6,978 6,968 38,23 38,23 266,76894 266,38664 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-22 6,905 6,895 38,4 38,4 265,152 264,768 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-23 6,895 6,885 38,27 38,27 263,87165 263,48895 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-24 6,858 6,848 38,28 38,28 262,52424 262,14144 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-25 6,885 6,875 38,07 38,07 262,11195 261,73125 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-02-28 6,828 6,818 38,65 38,65 263,9022 263,5157 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-01 6,87 6,86 38,32 38,32 263,2584 262,8752 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-02 6,888 6,878 38,56 38,56 265,60128 265,21568 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-03 6,903 6,893 39,04 39,04 269,49312 269,10272 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-04 6,9 6,89 39,06 39,06 269,514 269,1234 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-07 6,84 6,83 39,29 39,29 268,7436 268,3507 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-08 6,825 6,815 39,45 39,45 269,24625 268,85175 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-09 6,76 6,75 39,35 39,35 266,006 265,6125 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-10 6,745 6,735 39,58 39,58 266,9671 266,5713 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-11 6,765 6,755 39,48 39,48 267,0822 266,6874 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-14 6,76 6,75 39,41 39,41 266,4116 266,0175 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-15 6,815 6,805 39,2 39,2 267,148 266,756 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-16 6,81 6,8 39,03 39,03 265,7943 265,404 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-18 6,828 6,818 38,6 38,6 263,5608 263,1748 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-21 6,908 6,898 38,35 38,35 264,9218 264,5383 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-22 6,928 6,918 37,67 37,67 260,97776 260,60106 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-23 6,973 6,963 36,95 36,95 257,65235 257,28285 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-24 7,008 6,998 36,67 36,67 256,98336 256,61666 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-29 7,055 7,045 36,21 36,21 255,46155 255,09945 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-30 7,053 7,043 36,63 36,63 258,35139 257,98509 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-03-31 7,065 7,055 37,32 37,32 263,6658 263,2926 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-01 7,07 7,06 37,84 37,84 267,5288 267,1504 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-04 7,113 7,103 37,77 37,77 268,65801 268,28031 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-05 7,163 7,153 37,59 37,59 269,25717 268,88127 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-06 7,125 7,115 37,75 37,75 268,96875 268,59125 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-07 7,083 7,073 37,59 37,59 266,24997 265,87407 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-08 7,153 7,143 37,13 37,13 265,59089 265,21959 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-11 7,098 7,088 36,9 36,9 261,9162 261,5472 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-12 7,048 7,038 37,31 37,31 262,96088 262,58778 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-13 7,075 7,065 37,24 37,24 263,473 263,1006 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-14 7,12 7,11 37,3 37,3 265,576 265,203 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-15 7,17 7,16 36,56 36,56 262,1352 261,7696 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-18 7,08 7,07 36,29 36,29 256,9332 256,5703 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-19 7,068 7,058 35,73 35,73 252,53964 252,18234 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-20 7,043 7,033 35,93 35,93 253,05499 252,69569 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-21 7,025 7,015 36,3 36,3 255,0075 254,6445 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-22 7,023 7,013 36,57 36,57 256,83111 256,46541 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-25 7,04 7,03 36,92 36,92 259,9168 259,5476 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-26 7,035 7,025 36,76 36,76 258,6066 258,239 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-27 7,085 7,075 36,25 36,25 256,83125 256,46875 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-28 7,085 7,075 36,52 36,52 258,7442 258,379 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-04-29 7,08 7,07 35,85 35,85 253,818 253,4595 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-03 7,178 7,168 35,99 35,99 258,33622 257,97632 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-04 7,11 7,1 36,47 36,47 259,3017 258,937 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-06 7,085 7,075 37,26 37,26 263,9871 263,6145 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-09 7,168 7,158 37,62 37,62 269,66016 269,28396 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-10 7,178 7,168 37,76 37,76 271,04128 270,66368 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-11 7,15 7,14 37,81 37,81 270,3415 269,9634 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-12 7,243 7,233 38,04 38,04 275,52372 275,14332 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-13 7,265 7,255 37,86 37,86 275,0529 274,6743 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-16 7,32 7,31 38,05 38,05 278,526 278,1455 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-17 7,313 7,303 37,82 37,82 276,57766 276,19946 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-18 7,3 7,29 37,83 37,83 276,159 275,7807 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-19 7,26 7,25 38,02 38,02 276,0252 275,645 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-20 7,28 7,27 38,16 38,16 277,8048 277,4232 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-23 7,32 7,31 38,63 38,63 282,7716 282,3853 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-24 7,295 7,285 38,57 38,57 281,36815 280,98245 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-25 7,298 7,288 38,82 38,82 283,30836 282,92016 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-26 7,33 7,32 39,07 39,07 286,3831 285,9924 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-27 7,338 7,328 39 39 286,182 285,792 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-05-31 7,403 7,393 38,67 38,67 286,27401 285,88731 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-01 7,428 7,418 38,76 38,76 287,90928 287,52168 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-02 7,473 7,463 38,6 38,6 288,4578 288,0718 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-03 7,438 7,428 38,85 38,85 288,9663 288,5778 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-07 7,448 7,438 39,29 39,29 292,63192 292,23902 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-08 7,435 7,425 39,57 39,57 294,20295 293,80725 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-09 7,523 7,513 39,34 39,34 295,95482 295,56142 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-10 7,525 7,515 39,18 39,18 294,8295 294,4377 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-13 7,643 7,633 39,21 39,21 299,68203 299,28993 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-14 7,663 7,653 39,33 39,33 301,38579 300,99249 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-15 7,693 7,683 39,57 39,57 304,41201 304,01631 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-16 7,678 7,668 39,45 39,45 302,8971 302,5026 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-17 7,643 7,633 39,26 39,26 300,06418 299,67158 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-20 7,543 7,533 39,25 39,25 296,06275 295,67025 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-21 7,648 7,638 39,43 39,43 301,56064 301,16634 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-22 7,608 7,598 39,85 39,85 303,1788 302,7803 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-23 7,73 7,72 39,78 39,78 307,4994 307,1016 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-27 7,73 7,72 39,98 39,98 309,0454 308,6456 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-28 7,76 7,75 39,6 39,6 307,296 306,9 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-29 7,833 7,823 39,75 39,75 311,36175 310,96425 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-06-30 7,823 7,813 40,2 40,2 314,4846 314,0826 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-01 7,858 7,848 40,34 40,34 316,99172 316,58832 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-04 7,945 7,935 40,64 40,64 322,8848 322,4784 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-05 7,963 7,953 40,38 40,38 321,54594 321,14214 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-06 7,895 7,885 40,81 40,81 322,19495 321,78685 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-07 7,878 7,868 40,2 40,2 316,6956 316,2936 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-08 7,913 7,903 40,46 40,46 320,15998 319,75538 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-11 7,89 7,88 41,04 41,04 323,8056 323,3952 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-12 7,77 7,76 41 41 318,57 318,16 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-13 7,703 7,693 40,9 40,9 315,0527 314,6437 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-14 7,76 7,75 40,5 40,5 314,28 313,875 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-15 7,76 7,75 40,79 40,79 316,5304 316,1225 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-18 7,78 7,77 41,41 41,41 322,1698 321,7557 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-19 7,878 7,868 41,52 41,52 327,09456 326,67936 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-20 7,818 7,808 41,73 41,73 326,24514 325,82784 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-21 7,775 7,765 41,67 41,67 323,98425 323,56755 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-22 7,758 7,748 42,16 42,16 327,07728 326,65568 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-25 7,838 7,828 42,37 42,37 332,09606 331,67236 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-26 7,818 7,808 42,54 42,54 332,57772 332,15232 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-27 7,905 7,895 42,63 42,63 336,99015 336,56385 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-28 7,848 7,838 42,68 42,68 334,95264 334,52584 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-07-29 7,748 7,738 42,75 42,75 331,227 330,7995 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-02 7,7 7,69 43,24 43,24 332,948 332,5156 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-03 7,685 7,675 43,54 43,54 334,6049 334,1695 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-04 7,618 7,608 43,57 43,57 331,91626 331,48056 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-05 7,548 7,538 43,49 43,49 328,26252 327,82762 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-08 7,558 7,548 42,88 42,88 324,08704 323,65824 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-09 7,548 7,538 42,82 42,82 323,20536 322,77716 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-10 7,558 7,548 43,64 43,64 329,83112 329,39472 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-11 7,523 7,513 44,14 44,14 332,06522 331,62382 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-12 7,46 7,45 44,4 44,4 331,224 330,78 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-15 7,508 7,498 44,49 44,49 334,03092 333,58602 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-16 7,523 7,513 44,13 44,13 331,98999 331,54869 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-17 7,605 7,595 44,42 44,42 337,8141 337,3699 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-18 7,61 7,6 44,23 44,23 336,5903 336,148 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-19 7,698 7,688 44,2 44,2 340,2516 339,8096 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-22 7,69 7,68 43,97 43,97 338,1293 337,6896 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-23 7,663 7,653 43,4 43,4 332,5742 332,1402 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-24 7,673 7,663 43,02 43,02 330,09246 329,66226 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-25 7,588 7,578 43,18 43,18 327,64984 327,21804 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-26 7,578 7,568 43,54 43,54 329,94612 329,51072 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-30 7,633 7,623 43,28 43,28 330,35624 329,92344 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-08-31 7,668 7,658 43,59 43,59 334,24812 333,81222 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-01 7,568 7,558 43,97 43,97 332,76496 332,32526 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-02 7,435 7,425 44,37 44,37 329,89095 329,44725 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-05 7,41 7,4 44,56 44,56 330,1896 329,744 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-06 7,485 7,475 44,66 44,66 334,2801 333,8335 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-07 7,43 7,42 44,71 44,71 332,1953 331,7482 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-08 7,498 7,488 45,21 45,21 338,98458 338,53248 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-09 7,523 7,513 45,01 45,01 338,61023 338,16013 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-12 7,555 7,545 45,51 45,51 343,82805 343,37295 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-13 7,57 7,56 45,77 45,77 346,4789 346,0212 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-14 7,61 7,6 45,8 45,8 348,538 348,08 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-15 7,658 7,648 46,2 46,2 353,7996 353,3376 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-16 7,613 7,603 46,59 46,59 354,68967 354,22377 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-19 7,698 7,688 46,85 46,85 360,6513 360,1828 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-20 7,688 7,678 47,08 47,08 361,95104 361,48024 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-21 7,663 7,653 46,48 46,48 356,17624 355,71144 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-22 7,648 7,638 45,17 45,17 345,46016 345,00846 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-23 7,733 7,723 45,32 45,32 350,45956 350,00636 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-26 7,798 7,788 46,22 46,22 360,42356 359,96136 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-27 7,825 7,815 46,46 46,46 363,5495 363,0849 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-28 7,81 7,8 46,99 46,99 366,9919 366,522 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-29 7,785 7,775 47,01 47,01 365,97285 365,50275 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-09-30 7,785 7,775 47,41 47,41 369,08685 368,61275 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-03 7,783 7,773 47,56 47,56 370,15948 369,68388 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-04 7,82 7,81 47,92 47,92 374,7344 374,2552 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-05 7,795 7,785 47,67 47,67 371,58765 371,11095 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-06 7,713 7,703 46,89 46,89 361,66257 361,19367 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-07 7,683 7,673 46,52 46,52 357,41316 356,94796 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-10 7,698 7,688 46,26 46,26 356,10948 355,64688 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-11 7,77 7,76 46,24 46,24 359,2848 358,8224 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-12 7,805 7,795 46,33 46,33 361,60565 361,14235 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-13 7,83 7,82 45,41 45,41 355,5603 355,1062 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-14 7,833 7,823 44,8 44,8 350,9184 350,4704 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-17 7,835 7,825 44,5 44,5 348,6575 348,2125 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-18 7,893 7,883 43,95 43,95 346,89735 346,45785 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-19 7,96 7,95 43,48 43,48 346,1008 345,666 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-20 7,93 7,92 43,2 43,2 342,576 342,144 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-21 7,883 7,873 43,92 43,92 346,22136 345,78216 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-24 7,995 7,985 43,31 43,31 346,26345 345,83035 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-25 7,99 7,98 43,61 43,61 348,4439 348,0078 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-26 7,868 7,858 43,67 43,67 343,59556 343,15886 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-27 7,868 7,858 42,98 42,98 338,16664 337,73684 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-10-28 7,825 7,815 42,51 42,51 332,64075 332,21565 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-01 7,963 7,953 43,21 43,21 344,08123 343,64913 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-02 7,98 7,97 43,81 43,81 349,6038 349,1657 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-03 8,01 8 43,8 43,8 350,838 350,4 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-04 8,028 8,018 43,59 43,59 349,94052 349,50462 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-07 8,135 8,125 43,81 43,81 356,39435 355,95625 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-08 8,17 8,16 44,72 44,72 365,3624 364,9152 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-09 8,12 8,11 44,63 44,63 362,3956 361,9493 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-10 8,173 8,163 44,71 44,71 365,41483 364,96773 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-11 8,235 8,225 45,63 45,63 375,76305 375,30675 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-14 8,133 8,123 45,85 45,85 372,89805 372,43955 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-15 8,185 8,175 45,81 45,81 374,95485 374,49675 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-16 8,21 8,2 46,13 46,13 378,7273 378,266 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-17 8,258 8,248 46,34 46,34 382,67572 382,21232 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-18 8,223 8,213 46,41 46,41 381,62943 381,16533 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-21 8,123 8,113 46,31 46,31 376,17613 375,71303 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-22 8,15 8,14 46,09 46,09 375,6335 375,1726 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-23 8,048 8,038 46,66 46,66 375,51968 375,05308 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-24 8,053 8,043 47,12 47,12 379,45736 378,98616 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-25 8,078 8,068 47,58 47,58 384,35124 383,87544 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-28 8,118 8,108 47,96 47,96 389,33928 388,85968 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-29 8,015 8,005 48,06 48,06 385,2009 384,7203 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-11-30 8,088 8,078 47,51 47,51 384,26088 383,78578 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-01 8,083 8,073 48,08 48,08 388,63064 388,14984 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-02 8,103 8,093 47,95 47,95 388,53885 388,05935 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-05 8,045 8,035 47,04 47,04 378,4368 377,9664 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-06 7,993 7,983 47,19 47,19 377,18967 376,71777 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-07 8,015 8,005 47,58 47,58 381,3537 380,8779 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-08 7,988 7,978 47,61 47,61 380,30868 379,83258 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-12 7,953 7,943 48,62 48,62 386,67486 386,18866 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-13 7,905 7,895 49,05 49,05 387,74025 387,24975 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-14 7,848 7,838 49,55 49,55 388,8684 388,3729 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-15 7,858 7,848 49,78 49,78 391,17124 390,67344 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-16 7,903 7,893 50,4 50,4 398,3112 397,8072 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-19 7,865 7,855 51,29 51,29 403,39585 402,88295 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-20 7,848 7,838 50,48 50,48 396,16704 395,66224 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-21 7,948 7,938 50,72 50,72 403,12256 402,61536 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-22 7,98 7,97 50,92 50,92 406,3416 405,8324 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-23 7,955 7,945 50,2 50,2 399,341 398,839 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-29 7,938 7,928 50,58 50,58 401,50404 400,99824 138784 Aberdeen International Management Ireland Limited Aberdeen International India Opportunities Fund USD 2005-12-30 7,958 7,948 51 51 405,858 405,348 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-04 6,728 6,718 8,126 8,126 54,671728 54,590468 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-05 6,828 6,818 7,91 7,91 54,00948 53,93038 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-07 6,87 6,86 7,759 7,759 53,30433 53,22674 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-10 6,96091 6,95091 7,82 7,82 54,4343162 54,3561162 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-11 6,96091 6,95091 7,81 7,81 54,3647071 54,2866071 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-12 6,913 6,903 7,73 7,73 53,43749 53,36019 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-13 6,843 6,833 7,781 7,781 53,245383 53,167573 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-14 6,915 6,905 7,728 7,728 53,43912 53,36184 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-17 6,915 6,905 7,832 7,832 54,15828 54,07996 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-18 6,968 6,958 7,805 7,805 54,38524 54,30719 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-19 6,91 6,9 7,863 7,863 54,33333 54,2547 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-20 6,96 6,95 7,695 7,695 53,5572 53,48025 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-21 6,978 6,968 7,549 7,549 52,676922 52,601432 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-24 6,933 6,923 7,507 7,507 52,046031 51,970961 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-25 6,95 6,94 7,431 7,431 51,64545 51,57114 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-26 6,995 6,985 7,467 7,467 52,231665 52,156995 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-27 6,93 6,92 7,581 7,581 52,53633 52,46052 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-28 6,985 6,975 7,589 7,589 53,009165 52,933275 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-01-31 6,998 6,988 7,575 7,575 53,00985 52,9341 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-01 6,993 6,983 7,658 7,658 53,552394 53,475814 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-02 6,953 6,943 7,686 7,686 53,440758 53,363898 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-03 6,968 6,958 7,679 7,679 53,507272 53,430482 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-04 7,01 7 7,596 7,596 53,24796 53,172 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-07 7,065 7,055 7,746 7,746 54,72549 54,64803 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-08 7,123 7,113 7,712 7,712 54,932576 54,855456 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-09 7,1 7,09 7,723 7,723 54,8333 54,75607 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-10 7,088 7,078 7,602 7,602 53,882976 53,806956 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-11 7,068 7,058 7,62 7,62 53,85816 53,78196 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-14 7,03 7,02 7,75 7,75 54,4825 54,405 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-15 7,005 6,995 7,765 7,765 54,393825 54,316175 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-16 6,973 6,963 7,786 7,786 54,291778 54,213918 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-17 6,97 6,96 7,753 7,753 54,03841 53,96088 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-18 6,965 6,955 7,665 7,665 53,386725 53,310075 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-21 6,978 6,968 7,64 7,64 53,31192 53,23552 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-22 6,905 6,895 7,664 7,664 52,91992 52,84328 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-23 6,895 6,885 7,585 7,585 52,298575 52,222725 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-24 6,858 6,848 7,613 7,613 52,209954 52,133824 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-25 6,885 6,875 7,688 7,688 52,93188 52,855 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-02-28 6,828 6,818 7,765 7,765 53,01942 52,94177 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-01 6,87 6,86 7,728 7,728 53,09136 53,01408 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-02 6,888 6,878 7,781 7,781 53,595528 53,517718 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-03 6,903 6,893 7,771 7,771 53,643213 53,565503 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-04 6,9 6,89 7,702 7,702 53,1438 53,06678 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-07 6,84 6,83 7,728 7,728 52,85952 52,78224 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-08 6,825 6,815 7,824 7,824 53,3988 53,32056 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-09 6,76 6,75 7,774 7,774 52,55224 52,4745 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-10 6,745 6,735 7,731 7,731 52,145595 52,068285 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-11 6,765 6,755 7,758 7,758 52,48287 52,40529 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-14 6,76 6,75 7,657 7,657 51,76132 51,68475 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-15 6,815 6,805 7,659 7,659 52,196085 52,119495 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-16 6,81 6,8 7,59 7,59 51,6879 51,612 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-18 6,828 6,818 7,5 7,5 51,21 51,135 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-21 6,908 6,898 7,465 7,465 51,56822 51,49357 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-22 6,928 6,918 7,476 7,476 51,793728 51,718968 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-23 6,973 6,963 7,408 7,408 51,655984 51,581904 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-24 7,008 6,998 7,458 7,458 52,265664 52,191084 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-29 7,055 7,045 7,488 7,488 52,82784 52,75296 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-30 7,053 7,043 7,439 7,439 52,467267 52,392877 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-03-31 7,065 7,055 7,583 7,583 53,573895 53,498065 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-01 7,07 7,06 7,558 7,558 53,43506 53,35948 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-04 7,113 7,103 7,507 7,507 53,397291 53,322221 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-05 7,163 7,153 7,515 7,515 53,829945 53,754795 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-06 7,125 7,115 7,542 7,542 53,73675 53,66133 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-07 7,083 7,073 7,513 7,513 53,214579 53,139449 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-08 7,153 7,143 7,589 7,589 54,284117 54,208227 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-11 7,098 7,088 7,537 7,537 53,497626 53,422256 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-12 7,048 7,038 7,508 7,508 52,916384 52,841304 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-13 7,075 7,065 7,513 7,513 53,154475 53,079345 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-14 7,12 7,11 7,376 7,376 52,51712 52,44336 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-15 7,17 7,16 7,239 7,239 51,90363 51,83124 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-18 7,08 7,07 7,038 7,038 49,82904 49,75866 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-19 7,068 7,058 7,063 7,063 49,921284 49,850654 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-20 7,043 7,033 7,159 7,159 50,420837 50,349247 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-21 7,025 7,015 7,18 7,18 50,4395 50,3677 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-22 7,023 7,013 7,348 7,348 51,605004 51,531524 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-25 7,04 7,03 7,259 7,259 51,10336 51,03077 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-26 7,035 7,025 7,285 7,285 51,249975 51,177125 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-27 7,085 7,075 7,21 7,21 51,08285 51,01075 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-28 7,085 7,075 7,18 7,18 50,8703 50,7985 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-04-29 7,08 7,07 7,172 7,172 50,77776 50,70604 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-03 7,178 7,168 7,211 7,211 51,760558 51,688448 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-04 7,11 7,1 7,254 7,254 51,57594 51,5034 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-06 7,085 7,075 7,382 7,382 52,30147 52,22765 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-09 7,168 7,158 7,393 7,393 52,993024 52,919094 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-10 7,178 7,168 7,397 7,397 53,095666 53,021696 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-11 7,15 7,14 7,337 7,337 52,45955 52,38618 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-12 7,243 7,233 7,357 7,357 53,286751 53,213181 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-13 7,265 7,255 7,354 7,354 53,42681 53,35327 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-16 7,32 7,31 7,476 7,476 54,72432 54,64956 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-17 7,313 7,303 7,534 7,534 55,096142 55,020802 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-18 7,3 7,29 7,587 7,587 55,3851 55,30923 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-19 7,26 7,25 7,681 7,681 55,76406 55,68725 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-20 7,28 7,27 7,738 7,738 56,33264 56,25526 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-23 7,32 7,31 7,762 7,762 56,81784 56,74022 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-24 7,295 7,285 7,774 7,774 56,71133 56,63359 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-25 7,298 7,288 7,787 7,787 56,829526 56,751656 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-26 7,33 7,32 7,756 7,756 56,85148 56,77392 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-27 7,338 7,328 7,843 7,843 57,551934 57,473504 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-05-31 7,403 7,393 7,812 7,812 57,832236 57,754116 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-01 7,428 7,418 7,792 7,792 57,878976 57,801056 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-02 7,473 7,463 7,875 7,875 58,849875 58,771125 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-03 7,438 7,428 7,938 7,938 59,042844 58,963464 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-07 7,448 7,438 7,872 7,872 58,630656 58,551936 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-08 7,435 7,425 7,84 7,84 58,2904 58,212 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-09 7,523 7,513 7,805 7,805 58,717015 58,638965 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-10 7,525 7,515 7,898 7,898 59,43245 59,35347 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-13 7,643 7,633 7,795 7,795 59,577185 59,499235 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-14 7,663 7,653 7,812 7,812 59,863356 59,785236 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-15 7,693 7,683 7,783 7,783 59,874619 59,796789 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-16 7,678 7,668 7,793 7,793 59,834654 59,756724 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-17 7,643 7,633 7,836 7,836 59,890548 59,812188 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-20 7,543 7,533 7,837 7,837 59,114491 59,036121 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-21 7,648 7,638 7,828 7,828 59,868544 59,790264 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-22 7,608 7,598 7,884 7,884 59,981472 59,902632 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-23 7,73 7,72 7,902 7,902 61,08246 61,00344 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-27 7,73 7,72 7,726 7,726 59,72198 59,64472 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-28 7,76 7,75 7,679 7,679 59,58904 59,51225 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-29 7,833 7,823 7,723 7,723 60,494259 60,417029 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-06-30 7,823 7,813 7,706 7,706 60,284038 60,206978 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-01 7,858 7,848 7,681 7,681 60,357298 60,280488 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-04 7,945 7,935 7,667 7,667 60,914315 60,837645 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-05 7,963 7,953 7,654 7,654 60,948802 60,872262 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-06 7,895 7,885 7,714 7,714 60,90203 60,82489 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-07 7,878 7,868 7,65 7,65 60,2667 60,1902 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-08 7,913 7,903 7,704 7,704 60,961752 60,884712 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-11 7,89 7,88 7,868 7,868 62,07852 61,99984 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-12 7,77 7,76 7,999 7,999 62,15223 62,07224 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-13 7,703 7,693 8,045 8,045 61,970635 61,890185 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-14 7,76 7,75 8,087 8,087 62,75512 62,67425 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-15 7,76 7,75 8,097 8,097 62,83272 62,75175 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-18 7,78 7,77 8,083 8,083 62,88574 62,80491 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-19 7,878 7,868 8,06 8,06 63,49668 63,41608 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-20 7,818 7,808 8,171 8,171 63,880878 63,799168 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-21 7,775 7,765 8,157 8,157 63,420675 63,339105 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-22 7,758 7,748 8,164 8,164 63,336312 63,254672 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-25 7,838 7,828 8,136 8,136 63,769968 63,688608 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-26 7,818 7,808 8,102 8,102 63,341436 63,260416 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-27 7,905 7,895 8,108 8,108 64,09374 64,01266 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-28 7,848 7,838 8,157 8,157 64,016136 63,934566 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-07-29 7,748 7,738 8,173 8,173 63,324404 63,242674 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-02 7,7 7,69 8,127 8,127 62,5779 62,49663 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-03 7,685 7,675 8,217 8,217 63,147645 63,065475 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-04 7,618 7,608 8,213 8,213 62,566634 62,484504 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-05 7,548 7,538 8,117 8,117 61,267116 61,185946 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-08 7,558 7,548 8,086 8,086 61,113988 61,033128 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-09 7,548 7,538 8,062 8,062 60,851976 60,771356 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-10 7,558 7,548 8,146 8,146 61,567468 61,486008 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-11 7,523 7,513 8,109 8,109 61,004007 60,922917 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-12 7,46 7,45 8,174 8,174 60,97804 60,8963 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-15 7,508 7,498 8,08 8,08 60,66464 60,58384 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-16 7,523 7,513 8,103 8,103 60,958869 60,877839 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-17 7,605 7,595 7,988 7,988 60,74874 60,66886 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-18 7,61 7,6 7,996 7,996 60,84956 60,7696 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-19 7,698 7,688 7,953 7,953 61,222194 61,142664 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-22 7,69 7,68 7,967 7,967 61,26623 61,18656 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-23 7,663 7,653 7,963 7,963 61,020469 60,940839 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-24 7,673 7,663 7,932 7,932 60,862236 60,782916 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-25 7,588 7,578 7,903 7,903 59,967964 59,888934 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-26 7,578 7,568 7,913 7,913 59,964714 59,885584 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-30 7,633 7,623 7,883 7,883 60,170939 60,092109 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-08-31 7,668 7,658 7,857 7,857 60,247476 60,168906 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-01 7,568 7,558 7,979 7,979 60,385072 60,305282 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-02 7,435 7,425 7,984 7,984 59,36104 59,2812 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-05 7,41 7,4 7,984 7,984 59,16144 59,0816 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-06 7,485 7,475 7,993 7,993 59,827605 59,747675 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-07 7,43 7,42 8,1 8,1 60,183 60,102 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-08 7,498 7,488 8,087 8,087 60,636326 60,555456 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-09 7,523 7,513 8,091 8,091 60,868593 60,787683 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-12 7,555 7,545 8,146 8,146 61,54303 61,46157 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-13 7,57 7,56 8,166 8,166 61,81662 61,73496 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-14 7,61 7,6 8,193 8,193 62,34873 62,2668 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-15 7,658 7,648 8,145 8,145 62,37441 62,29296 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-16 7,613 7,603 8,114 8,114 61,771882 61,690742 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-19 7,698 7,688 8,152 8,152 62,754096 62,672576 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-20 7,688 7,678 8,114 8,114 62,380432 62,299292 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-21 7,663 7,653 8,077 8,077 61,894051 61,813281 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-22 7,648 7,638 7,979 7,979 61,023392 60,943602 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-23 7,733 7,723 7,968 7,968 61,616544 61,536864 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-26 7,798 7,788 8,024 8,024 62,571152 62,490912 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-27 7,825 7,815 8,018 8,018 62,74085 62,66067 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-28 7,81 7,8 8,032 8,032 62,72992 62,6496 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-29 7,785 7,775 8,062 8,062 62,76267 62,68205 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-09-30 7,785 7,775 8,167 8,167 63,580095 63,498425 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-03 7,783 7,773 8,223 8,223 63,999609 63,917379 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-04 7,82 7,81 8,275 8,275 64,7105 64,62775 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-05 7,795 7,785 8,193 8,193 63,864435 63,782505 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-06 7,713 7,703 8,045 8,045 62,051085 61,970635 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-07 7,683 7,673 7,972 7,972 61,248876 61,169156 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-10 7,698 7,688 8,02 8,02 61,73796 61,65776 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-11 7,77 7,76 7,966 7,966 61,89582 61,81616 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-12 7,805 7,795 7,867 7,867 61,401935 61,323265 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-13 7,83 7,82 7,808 7,808 61,13664 61,05856 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-14 7,833 7,823 7,827 7,827 61,308891 61,230621 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-17 7,835 7,825 7,867 7,867 61,637945 61,559275 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-18 7,893 7,883 7,885 7,885 62,236305 62,157455 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-19 7,96 7,95 7,821 7,821 62,25516 62,17695 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-20 7,93 7,92 7,903 7,903 62,67079 62,59176 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-21 7,883 7,873 7,882 7,882 62,133806 62,054986 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-24 7,995 7,985 7,913 7,913 63,264435 63,185305 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-25 7,99 7,98 8,02 8,02 64,0798 63,9996 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-26 7,868 7,858 7,974 7,974 62,739432 62,659692 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-27 7,868 7,858 7,933 7,933 62,416844 62,337514 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-10-28 7,825 7,815 7,821 7,821 61,199325 61,121115 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-01 7,963 7,953 7,979 7,979 63,536777 63,456987 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-02 7,98 7,97 7,972 7,972 63,61656 63,53684 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-03 8,01 8 7,996 7,996 64,04796 63,968 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-04 8,028 8,018 8,067 8,067 64,761876 64,681206 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-07 8,135 8,125 8,066 8,066 65,61691 65,53625 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-08 8,17 8,16 8,096 8,096 66,14432 66,06336 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-09 8,12 8,11 8,116 8,116 65,90192 65,82076 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-10 8,173 8,163 8,149 8,149 66,601777 66,520287 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-11 8,235 8,225 8,224 8,224 67,72464 67,6424 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-14 8,133 8,123 8,234 8,234 66,967122 66,884782 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-15 8,185 8,175 8,225 8,225 67,321625 67,239375 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-16 8,21 8,2 8,18 8,18 67,1578 67,076 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-17 8,258 8,248 8,219 8,219 67,872502 67,790312 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-18 8,223 8,213 8,33 8,33 68,49759 68,41429 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-21 8,123 8,113 8,358 8,358 67,892034 67,808454 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-22 8,15 8,14 8,345 8,345 68,01175 67,9283 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-23 8,048 8,038 8,415 8,415 67,72392 67,63977 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-24 8,053 8,043 8,435 8,435 67,927055 67,842705 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-25 8,078 8,068 8,417 8,417 67,992526 67,908356 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-28 8,118 8,108 8,449 8,449 68,588982 68,504492 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-29 8,015 8,005 8,382 8,382 67,18173 67,09791 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-11-30 8,088 8,078 8,352 8,352 67,550976 67,467456 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-01 8,083 8,073 8,408 8,408 67,961864 67,877784 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-02 8,103 8,093 8,569 8,569 69,434607 69,348917 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-05 8,045 8,035 8,588 8,588 69,09046 69,00458 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-06 7,993 7,983 8,538 8,538 68,244234 68,158854 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-07 8,015 8,005 8,568 8,568 68,67252 68,58684 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-08 7,988 7,978 8,533 8,533 68,161604 68,076274 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-12 7,953 7,943 8,518 8,518 67,743654 67,658474 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-13 7,905 7,895 8,546 8,546 67,55613 67,47067 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-14 7,848 7,838 8,579 8,579 67,327992 67,242202 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-15 7,858 7,848 8,566 8,566 67,311628 67,225968 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-16 7,903 7,893 8,566 8,566 67,697098 67,611438 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-19 7,865 7,855 8,58 8,58 67,4817 67,3959 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-20 7,848 7,838 8,463 8,463 66,417624 66,332994 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-21 7,948 7,938 8,475 8,475 67,3593 67,27455 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-22 7,98 7,97 8,499 8,499 67,82202 67,73703 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-23 7,955 7,945 8,556 8,556 68,06298 67,97742 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-29 7,938 7,928 8,518 8,518 67,615884 67,530704 407890 Aberdeen International Management Ireland Limited Aberdeen International Technology Fund USD 2005-12-30 7,958 7,948 8,458 8,458 67,308764 67,224184 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-03 1,0958 1,0942 329,0869 329,0869 360,61342502 360,08688598 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-04 1,0963 1,0947 329,8636 329,8636 361,62946468 361,10168292 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-05 1,0923 1,0907 325,3215 325,3215 355,34867445 354,82816005 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-07 1,0978 1,0962 332,0342 332,0342 364,50714476 363,97589004 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-10 1,1082 1,1066 333,4933 333,4933 369,57727506 369,04368578 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-11 1,1082 1,1066 330,4071 330,4071 366,15714822 365,62849686 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-12 1,1038 1,1022 331,1218 331,1218 365,49224284 364,96244796 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-13 1,1023 1,1007 333,455 333,455 367,5674465 367,0339185 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-14 1,1073 1,1057 335,7142 335,7142 371,73633366 371,19919094 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-17 1,1058 1,1042 340,7977 340,7977 376,85409666 376,30882034 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-18 1,1083 1,1067 340,4167 340,4167 377,28382861 376,73916189 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-19 1,1083 1,1067 341,3482 341,3482 378,31621006 377,77005294 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-20 1,1073 1,1057 335,5868 335,5868 371,59526364 371,05832476 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-21 1,1038 1,1022 338,9145 338,9145 374,0938251 373,5515619 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-24 1,1053 1,1037 337,7274 337,7274 373,29009522 372,74973138 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-25 1,1063 1,1047 343,9489 343,9489 380,51066807 379,96034983 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-26 1,1038 1,1022 344,4088 344,4088 380,15843344 379,60737936 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-27 1,0988 1,0972 345,093 345,093 379,1881884 378,6360396 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-28 1,1033 1,1017 346,4975 346,4975 382,29069175 381,73629575 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-01-31 1,1028 1,1012 345,9516 345,9516 381,51542448 380,96190192 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-01 1,0983 1,0967 347,8863 347,8863 382,08352329 381,52690521 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-02 1,0988 1,0972 349,0284 349,0284 383,51240592 382,95396048 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-03 1,0983 1,0967 349,3988 349,3988 383,74470204 383,18566396 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-04 1,0968 1,0952 355,8305 355,8305 390,2748924 389,7055636 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-07 1,0938 1,0922 361,4534 361,4534 395,35772892 394,77940348 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-08 1,0898 1,0882 356,8096 356,8096 388,85110208 388,28020672 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-09 1,0843 1,0827 356,7261 356,7261 386,79811023 386,22734847 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-10 1,0848 1,0832 355,7431 355,7431 385,91011488 385,34092592 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-11 1,0788 1,0772 359,2752 359,2752 387,58608576 387,01124544 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-14 1,0828 1,0812 361,7869 361,7869 391,74285532 391,16399628 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-15 1,0833 1,0817 362,035 362,035 392,1925155 391,6132595 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-16 1,0848 1,0832 358,0083 358,0083 388,36740384 387,79459056 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-17 1,0863 1,0847 360,889 360,889 392,0337207 391,4562983 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-18 1,0943 1,0927 356,3813 356,3813 389,98805659 389,41784651 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-21 1,0998 1,0982 357,225 357,225 392,876055 392,304495 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-22 1,1028 1,1012 354,4823 354,4823 390,92308044 390,35590876 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-23 1,1023 1,1007 354,1224 354,1224 390,34912152 389,78252568 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-24 1,1013 1,0997 360,7032 360,7032 397,24243416 396,66530904 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-25 1,1018 1,1002 367,5911 367,5911 405,01187398 404,42372822 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-02-28 1,0968 1,0952 368,6524 368,6524 404,33795232 403,74810848 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-01 1,1013 1,0997 368,7489 368,7489 406,10316357 405,51316533 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-02 1,1068 1,1052 367,2438 367,2438 406,46543784 405,87784776 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-03 1,1058 1,1042 371,8795 371,8795 411,2243511 410,6293439 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-04 1,1013 1,0997 379,3323 379,3323 417,75866199 417,15173031 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-07 1,1003 1,0987 381,7567 381,7567 420,04689701 419,43608629 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-08 1,1033 1,1017 381,9852 381,9852 421,44427116 420,83309484 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-09 1,1053 1,1037 382,216 382,216 422,4633448 421,8517992 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-10 1,1053 1,1037 378,9123 378,9123 418,81176519 418,20550551 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-11 1,1113 1,1097 380,4787 380,4787 422,82597931 422,21721339 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-14 1,1113 1,1097 378,7272 378,7272 420,87953736 420,27357384 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-15 1,1138 1,1122 380,3053 380,3053 423,58404314 422,97555466 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-16 1,1128 1,1112 374,2561 374,2561 416,47218808 415,87337832 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-17 1,1193 1,1177 378,8725 378,8725 424,07198925 423,46579325 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-18 1,1193 1,1177 378,8682 378,8682 424,06717626 423,46098714 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-21 1,1218 1,1202 378,8252 378,8252 424,96610936 424,35998904 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-22 1,1183 1,1167 377,7745 377,7745 422,46522335 421,86078415 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-23 1,1158 1,1142 373,3823 373,3823 416,61997034 416,02255866 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-29 1,1103 1,1087 370,6422 370,6422 411,52403466 410,93100714 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-30 1,1168 1,1152 366,6051 366,6051 409,42457568 408,83800752 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-03-31 1,1163 1,1147 372,813 372,813 416,1711519 415,5746511 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-01 1,1173 1,1157 378,2786 378,2786 422,65067978 422,04543402 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-04 1,1198 1,1182 381,0927 381,0927 426,74760546 426,13785714 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-05 1,1223 1,1207 383,1331 383,1331 429,99027813 429,37726517 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-06 1,1243 1,1227 386,23 386,23 434,238389 433,620421 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-07 1,1208 1,1192 390,352 390,352 437,5065216 436,8819584 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-08 1,1208 1,1192 393,0393 393,0393 440,51844744 439,88958456 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-11 1,1203 1,1187 390,6651 390,6651 437,66211153 437,03704737 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-12 1,1173 1,1157 393,2742 393,2742 439,40526366 438,77602494 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-13 1,1183 1,1167 393,6343 393,6343 440,20123769 439,57142281 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-14 1,1153 1,1137 390,9513 390,9513 436,02798489 435,40246281 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-15 1,1178 1,1162 382,2187 382,2187 427,24406286 426,63251294 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-18 1,1148 1,1132 368,56 368,56 410,870688 410,280992 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-19 1,1213 1,1197 371,1373 371,1373 416,15625449 415,56243481 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-20 1,1218 1,1202 372,2114 372,2114 417,54674852 416,95121028 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-21 1,1253 1,1237 371,7536 371,7536 418,33432608 417,73952032 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-22 1,1248 1,1232 375,0076 375,0076 421,80854848 421,20853632 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-25 1,1258 1,1242 376,7795 376,7795 424,1783611 423,5755139 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-26 1,1243 1,1227 372,3612 372,3612 418,64569716 418,04991924 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-27 1,1253 1,1237 361,4608 361,4608 406,75183824 406,17350096 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-28 1,1248 1,1232 356,4123 356,4123 400,89255504 400,32229536 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-04-29 1,1268 1,1252 355,3359 355,3359 400,39249212 399,82395468 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-02 1,1313 1,1297 358,711 358,711 405,8097543 405,2358167 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-03 1,1343 1,1327 361,191 361,191 409,6989513 409,1210457 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-04 1,1323 1,1307 359,4663 359,4663 407,02369149 406,44854541 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-06 1,1313 1,1297 367,8388 367,8388 416,13603444 415,54749236 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-09 1,1288 1,1272 371,4157 371,4157 419,25404216 418,65977704 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-10 1,1328 1,1312 369,8231 369,8231 418,93560768 418,34389072 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-11 1,1398 1,1382 370,3835 370,3835 422,1631133 421,5704997 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-12 1,1418 1,1402 369,2505 369,2505 421,6102209 421,0194201 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-13 1,1373 1,1357 364,6283 364,6283 414,69176559 414,10836031 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-18 1,1373 1,1357 366,8178 366,8178 417,18188394 416,59497546 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-19 1,1328 1,1312 370,9351 370,9351 420,19528128 419,60178512 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-20 1,1338 1,1322 373,3622 373,3622 423,31806236 422,72068284 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-23 1,1303 1,1287 373,8401 373,8401 422,55146503 421,95332087 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-24 1,1323 1,1307 375,9766 375,9766 425,71830418 425,11674162 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-25 1,1353 1,1337 376 376 426,8728 426,2712 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-26 1,1478 1,1462 382,3923 382,3923 438,90988194 438,29805426 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-27 1,1528 1,1512 384,8445 384,8445 443,6487396 443,0329884 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-30 1,1538 1,1522 386,0352 386,0352 445,40741376 444,78975744 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-05-31 1,1488 1,1472 383,8206 383,8206 440,93310528 440,31899232 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-01 1,1533 1,1517 388,3683 388,3683 447,90516039 447,28377111 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-02 1,1563 1,1547 389,9414 389,9414 450,88924082 450,26533458 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-03 1,1533 1,1517 390,136 390,136 449,9438488 449,3196312 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-07 1,1613 1,1597 392,3109 392,3109 455,59064817 454,96295073 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-08 1,1593 1,1577 398,2691 398,2691 461,71336763 461,07613707 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-09 1,1618 1,1602 397,8507 397,8507 462,22294326 461,58638214 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-10 1,1648 1,1632 402,5306 402,5306 468,86764288 468,22359392 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-13 1,1778 1,1762 400,5071 400,5071 471,71726238 471,07645102 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-14 1,1823 1,1807 404,1321 404,1321 477,80538183 477,15877047 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-15 1,1798 1,1782 404,7155 404,7155 477,4833469 476,8358021 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-16 1,1773 1,1757 408,3525 408,3525 480,75339825 480,10003425 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-17 1,1798 1,1782 411,2472 411,2472 485,18944656 484,53145104 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-20 1,1728 1,1712 413,7245 413,7245 485,2160936 484,5541344 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-21 1,1803 1,1787 416,2681 416,2681 491,32123843 490,65520947 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-22 1,1773 1,1757 415,7625 415,7625 489,47719125 488,81197125 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-23 1,1853 1,1837 419,3471 419,3471 497,05211763 496,38116227 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-27 1,1838 1,1822 417,5492 417,5492 494,29474296 493,62666424 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-28 1,1833 1,1817 424,1664 424,1664 501,91610112 501,23743488 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-29 1,1888 1,1872 425,7573 425,7573 506,14027824 505,45906656 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-06-30 1,1933 1,1917 425,854 425,854 508,1715782 507,4902118 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-01 1,1983 1,1967 429,0458 429,0458 514,12558214 513,43910886 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-04 1,2048 1,2032 431,9522 431,9522 520,41601056 519,72488704 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-05 1,1983 1,1967 433,121 433,121 519,0088943 518,3159007 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-06 1,1918 1,1902 441,0655 441,0655 525,6618629 524,9561581 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-07 1,1883 1,1867 431,8362 431,8362 513,15095646 512,46001854 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-08 1,1943 1,1927 443,0706 443,0706 529,15921758 528,45030462 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-11 1,1998 1,1982 444,2721 444,2721 533,03766558 532,32683022 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-12 1,1983 1,1967 441,8079 441,8079 529,41840657 528,71151393 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-13 1,1908 1,1892 444,2805 444,2805 529,0492194 528,3383706 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-14 1,1838 1,1822 444,8218 444,8218 526,58004684 525,86833196 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-15 1,1823 1,1807 441,1905 441,1905 521,61952815 520,91362335 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-18 1,1808 1,1792 441,2745 441,2745 521,0569296 520,3508904 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-19 1,1768 1,1752 440,6489 440,6489 518,55562552 517,85058728 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-20 1,1768 1,1752 439,3842 439,3842 517,06732656 516,36431184 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-21 1,1863 1,1847 440,4129 440,4129 522,46182327 521,75716263 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-22 1,1868 1,1852 444,9089 444,9089 528,01788252 527,30602828 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-25 1,1863 1,1847 451,0416 451,0416 535,07065008 534,34898352 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-26 1,1913 1,1897 451,3379 451,3379 537,67884027 536,95669963 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-27 1,1978 1,1962 451,4693 451,4693 540,76992754 540,04757666 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-28 1,1928 1,1912 452,3942 452,3942 539,61580176 538,89197104 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-07-29 1,1883 1,1867 458,2635 458,2635 544,55451705 543,82129545 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-01 1,1963 1,1947 459,5844 459,5844 549,80081772 549,06548268 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-02 1,1983 1,1967 467,3166 467,3166 559,98548178 559,23777522 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-03 1,1933 1,1917 469,4142 469,4142 560,15196486 559,40090214 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-04 1,1933 1,1917 466,4369 466,4369 556,59915277 555,85285373 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-05 1,1873 1,1857 466,1355 466,1355 553,44267915 552,69686235 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-08 1,1783 1,1767 471,1634 471,1634 555,17183422 554,41797278 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-09 1,1818 1,1802 474,7109 474,7109 561,01334162 560,25380418 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-10 1,1843 1,1827 476,2643 476,2643 564,03981049 563,27778761 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-11 1,1828 1,1812 477,9258 477,9258 565,29063624 564,52595496 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-12 1,1793 1,1777 480,1366 480,1366 566,22509238 565,45687382 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-15 1,1768 1,1752 485,6103 485,6103 571,46620104 570,68922456 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-16 1,1653 1,1637 478,0959 478,0959 557,12515227 556,36019883 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-17 1,1773 1,1757 471,9701 471,9701 555,65039873 554,89524657 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-18 1,1773 1,1757 472,3855 472,3855 556,13944915 555,38363235 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-19 1,1748 1,1732 480,922 480,922 564,9871656 564,2176904 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-22 1,1728 1,1712 486,6075 486,6075 570,693276 569,914704 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-23 1,1708 1,1692 487,2683 487,2683 570,49372564 569,71409636 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-24 1,1743 1,1727 481,5099 481,5099 565,43707557 564,66665973 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-25 1,1768 1,1752 481,0882 481,0882 566,14459376 565,37485264 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-26 1,1773 1,1757 485,2917 485,2917 571,33391841 570,55745169 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-29 1,1798 1,1782 488,1006 488,1006 575,86108788 575,08012692 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-30 1,1793 1,1777 492,8239 492,8239 581,18722527 580,39870703 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-08-31 1,1848 1,1832 493,0632 493,0632 584,18127936 583,39237824 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-01 1,1888 1,1872 498,6128 498,6128 592,75089664 591,95311616 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-02 1,1948 1,1932 496,1898 496,1898 592,84757304 592,05366936 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-05 1,1903 1,1887 493,8437 493,8437 587,82215611 587,03200619 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-06 1,1898 1,1882 497,7746 497,7746 592,25221908 591,45577972 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-07 1,1938 1,1922 495,3848 495,3848 591,39037424 590,59775856 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-08 1,1988 1,1972 491,9004 491,9004 589,69019952 588,90315888 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-09 1,2008 1,1992 491,6922 491,6922 590,42399376 589,63728624 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-12 1,1953 1,1937 496,2377 496,2377 593,15292281 592,35894249 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-13 1,1938 1,1922 490,8272 490,8272 585,94951136 585,16418784 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-14 1,1953 1,1937 493,2057 493,2057 589,52877321 588,73964409 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-15 1,2003 1,1987 498,4188 498,4188 598,25208564 597,45461556 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-16 1,2008 1,1992 502,1165 502,1165 602,9414932 602,1381068 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-19 1,1973 1,1957 508,8107 508,8107 609,19905111 608,38495399 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-20 1,2018 1,2002 512,1167 512,1167 615,46185006 614,64246334 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-21 1,1988 1,1972 513,4903 513,4903 615,57217164 614,75058716 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-22 1,2018 1,2002 513,4671 513,4671 617,08476078 616,26321342 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-23 1,2043 1,2027 508,3424 508,3424 612,19675232 611,38340448 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-26 1,1993 1,1977 507,7263 507,7263 608,91615159 608,10378951 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-27 1,2003 1,1987 507,8575 507,8575 609,58135725 608,76878525 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-28 1,2013 1,1997 510,6495 510,6495 613,44324435 612,62620515 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-29 1,2023 1,2007 513,6536 513,6536 617,56572328 616,74387752 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-09-30 1,1918 1,1902 515,6902 515,6902 614,59958036 613,77447604 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-03 1,1798 1,1782 519,4857 519,4857 612,88922886 612,05805174 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-04 1,1838 1,1822 518,5574 518,5574 613,86825012 613,03855828 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-05 1,1788 1,1772 510,5978 510,5978 601,89268664 601,07573016 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-06 1,1798 1,1782 486,5616 486,5616 574,04537568 573,26687712 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-07 1,1828 1,1812 484,5043 484,5043 573,07168604 572,29647916 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-10 1,1808 1,1792 483,3413 483,3413 570,72940704 569,95606096 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-11 1,1898 1,1882 483,5787 483,5787 575,36193726 574,58821134 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-12 1,1918 1,1902 483,4951 483,4951 576,22946018 575,45586802 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-13 1,2023 1,2007 460,0357 460,0357 553,10092211 552,36486499 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-14 1,2028 1,2012 450,3516 450,3516 541,68290448 540,96234192 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-17 1,2118 1,2102 456,5796 456,5796 553,28315928 552,55263192 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-18 1,2118 1,2102 442,3604 442,3604 536,05233272 535,34455608 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-19 1,2103 1,2087 426,4156 426,4156 516,09080068 515,40853572 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-20 1,2173 1,2157 440,2839 440,2839 535,95759147 535,25313723 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-21 1,2183 1,2167 436,6256 436,6256 531,94096848 531,24236752 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-24 1,2243 1,2227 451,6642 451,6642 552,97248006 552,24981734 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-25 1,2203 1,2187 454,8772 454,8772 555,08664716 554,35884364 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-26 1,2148 1,2132 460,3655 460,3655 559,2520094 558,5154246 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-27 1,2228 1,2212 453,4897 453,4897 554,52720516 553,80162164 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-28 1,2188 1,2172 448,6366 448,6366 546,79828808 546,08046952 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-10-31 1,2233 1,2217 461,9378 461,9378 565,08851074 564,34941026 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-01 1,2273 1,2257 457,1545 457,1545 561,06571785 560,33427065 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-02 1,2338 1,2322 459,2978 459,2978 566,68162564 565,94674916 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-03 1,2398 1,2382 473,202 473,202 586,6758396 585,9187164 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-04 1,2308 1,2292 474,3703 474,3703 583,85496524 583,09597276 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-07 1,2348 1,2332 475,0399 475,0399 586,57926852 585,81920468 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-08 1,2298 1,2282 469,5485 469,5485 577,4507453 576,6994677 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-09 1,2278 1,2262 471,8895 471,8895 579,3859281 578,6309049 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-10 1,2428 1,2412 470,538 470,538 584,7846264 584,0317656 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-11 1,2453 1,2437 468,5659 468,5659 583,50511527 582,75540983 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-14 1,2323 1,2307 469,2254 469,2254 578,22646042 577,47569978 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-15 1,2293 1,2277 465,5789 465,5789 572,33614177 571,59121553 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-16 1,2298 1,2282 460,2843 460,2843 566,05763214 565,32117726 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-17 1,2318 1,2302 468,1535 468,1535 576,6714813 575,9224357 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-18 1,2233 1,2217 467,5784 467,5784 571,98865672 571,24053128 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-21 1,2168 1,2152 470,076 470,076 571,9884768 571,2363552 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-22 1,2143 1,2127 475,2504 475,2504 577,09656072 576,33616008 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-23 1,2093 1,2077 476,0481 476,0481 575,68496733 574,92329037 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-24 1,2083 1,2067 474,6299 474,6299 573,49530817 572,73590033 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-25 1,2028 1,2012 479,3787 479,3787 576,59670036 575,82969444 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-28 1,2068 1,2052 483,4145 483,4145 583,3846186 582,6111554 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-29 1,1968 1,1952 485,636 485,636 581,2091648 580,4321472 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-11-30 1,1983 1,1967 490,1886 490,1886 587,39299938 586,60869762 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-01 1,1963 1,1947 494,0718 494,0718 591,05809434 590,26757946 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-02 1,1993 1,1977 499,9782 499,9782 599,62385526 598,82389014 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-05 1,1908 1,1892 501,0875 501,0875 596,694995 595,893255 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-06 1,1948 1,1932 504,3278 504,3278 602,57085544 601,76393096 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-07 1,1833 1,1817 510,4141 510,4141 603,97300453 603,15634197 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-08 1,1848 1,1832 509,6405 509,6405 603,8220644 603,0066396 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-12 1,1888 1,1872 513,7582 513,7582 610,75574816 609,93373504 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-13 1,1853 1,1837 517,0185 517,0185 612,82202805 611,99479845 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-14 1,1888 1,1872 515,1144 515,1144 612,36799872 611,54381568 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-15 1,1868 1,1852 513,2271 513,2271 609,09792228 608,27675892 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-16 1,1943 1,1927 505,6446 505,6446 603,89134578 603,08231442 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-19 1,1818 1,1802 500,5548 500,5548 591,55566264 590,75477496 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-20 1,1728 1,1712 505,8701 505,8701 593,28445328 592,47506112 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-21 1,1728 1,1712 511,3357 511,3357 599,69450896 598,87637184 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-22 1,1778 1,1762 515,993 515,993 607,7365554 606,9109666 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-23 1,1738 1,1722 517,5999 517,5999 607,55876262 606,73060278 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-27 1,1833 1,1817 517,9269 517,9269 612,86290077 612,03421773 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-28 1,1763 1,1747 521,612 521,612 613,5721956 612,7376164 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-29 1,1718 1,1702 522,1813 522,1813 611,89204734 611,05655726 147348 ABN AMRO Kapitalforvaltning AS ABN AMRO Aktiv NOK 2005-12-30 1,1768 1,1752 521,7569 521,7569 614,00351992 613,16870888 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-03 1,0958 1,0942 187,559 187,559 205,5271522 205,2270578 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-04 1,0963 1,0947 188,8372 188,8372 207,02222236 206,72008284 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-05 1,0923 1,0907 187,6157 187,6157 204,93262911 204,63244399 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-07 1,0978 1,0962 189,0701 189,0701 207,56115578 207,25864362 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-10 1,1082 1,1066 189,4734 189,4734 209,97442188 209,67126444 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-11 1,1082 1,1066 186,8311 186,8311 207,04622502 206,74729526 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-12 1,1038 1,1022 186,1514 186,1514 205,47391532 205,17607308 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-13 1,1023 1,1007 186,3855 186,3855 205,45273665 205,15451985 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-14 1,1073 1,1057 188,6022 188,6022 208,83921606 208,53745254 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-17 1,1058 1,1042 188,9622 188,9622 208,95440076 208,65206124 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-18 1,1083 1,1067 189,9272 189,9272 210,49631576 210,19243224 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-19 1,1083 1,1067 189,2404 189,2404 209,73513532 209,43235068 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-20 1,1073 1,1057 189,3867 189,3867 209,70789291 209,40487419 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-21 1,1038 1,1022 188,2639 188,2639 207,80569282 207,50447058 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-24 1,1053 1,1037 187,5311 187,5311 207,27812483 206,97807507 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-25 1,1063 1,1047 189,1763 189,1763 209,28574069 208,98305861 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-26 1,1038 1,1022 189,9233 189,9233 209,63733854 209,33346126 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-27 1,0988 1,0972 190,5052 190,5052 209,32711376 209,02230544 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-28 1,1033 1,1017 189,9925 189,9925 209,61872525 209,31473725 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-01-31 1,1028 1,1012 191,8679 191,8679 211,59192012 211,28493148 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-01 1,0983 1,0967 193,3795 193,3795 212,38870485 212,07929765 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-02 1,0988 1,0972 193,5888 193,5888 212,71537344 212,40563136 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-03 1,0983 1,0967 194,5034 194,5034 213,62308422 213,31187878 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-04 1,0968 1,0952 197,0765 197,0765 216,1535052 215,8381828 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-07 1,0938 1,0922 199,5394 199,5394 218,25619572 217,93693268 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-08 1,0898 1,0882 200,8145 200,8145 218,8476421 218,5263389 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-09 1,0843 1,0827 199,8714 199,8714 216,72055902 216,40076478 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-10 1,0848 1,0832 200,9917 200,9917 218,03579616 217,71420944 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-11 1,0788 1,0772 202,6339 202,6339 218,60145132 218,27723708 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-14 1,0828 1,0812 201,2506 201,2506 217,91414968 217,59214872 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-15 1,0833 1,0817 201,3527 201,3527 218,12537991 217,80321559 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-16 1,0848 1,0832 200,3959 200,3959 217,38947232 217,06883888 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-17 1,0863 1,0847 198,8955 198,8955 216,06018165 215,74194885 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-18 1,0943 1,0927 197,2274 197,2274 215,82594382 215,51037998 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-21 1,0998 1,0982 196,3886 196,3886 215,98818228 215,67396052 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-22 1,1028 1,1012 192,6004 192,6004 212,39972112 212,09156048 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-23 1,1023 1,1007 192,3218 192,3218 211,99632014 211,68860526 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-24 1,1013 1,0997 193,8729 193,8729 213,51222477 213,20202813 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-25 1,1018 1,1002 196,8554 196,8554 216,89527972 216,58031108 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-02-28 1,0968 1,0952 194,4779 194,4779 213,30336072 212,99219608 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-01 1,1013 1,0997 195,4697 195,4697 215,27078061 214,95802909 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-02 1,1068 1,1052 196,3906 196,3906 217,36511608 217,05089112 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-03 1,1058 1,1042 196,4015 196,4015 217,1807787 216,8665363 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-04 1,1013 1,0997 197,9826 197,9826 218,03823738 217,72146522 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-07 1,1003 1,0987 197,6601 197,6601 217,48540803 217,16915187 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-08 1,1033 1,1017 195,2623 195,2623 215,43289559 215,12047591 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-09 1,1053 1,1037 194,0424 194,0424 214,47506472 214,16459688 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-10 1,1053 1,1037 191,9959 191,9959 212,21306827 211,90587483 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-11 1,1113 1,1097 191,338 191,338 212,6339194 212,3277786 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-14 1,1113 1,1097 192,6446 192,6446 214,08594398 213,77771262 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-15 1,1138 1,1122 193,321 193,321 215,3209298 215,0116162 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-16 1,1128 1,1112 190,2622 190,2622 211,72377616 211,41935664 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-17 1,1193 1,1177 190,2825 190,2825 212,98320225 212,67875025 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-18 1,1193 1,1177 191,21 191,21 214,021353 213,715417 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-21 1,1218 1,1202 191,8862 191,8862 215,25793916 214,95092124 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-22 1,1183 1,1167 191,6155 191,6155 214,28361365 213,97702885 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-23 1,1158 1,1142 192,5171 192,5171 214,81058018 214,50255282 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-29 1,1103 1,1087 192,9957 192,9957 214,28312571 213,97433259 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-30 1,1168 1,1152 192,9852 192,9852 215,52587136 215,21709504 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-03-31 1,1163 1,1147 194,0829 194,0829 216,65474127 216,34420863 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-01 1,1173 1,1157 194,1051 194,1051 216,87362823 216,56306007 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-04 1,1198 1,1182 195,2177 195,2177 218,60478046 218,29243214 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-05 1,1223 1,1207 195,4369 195,4369 219,33883287 219,02613383 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-06 1,1243 1,1227 195,7218 195,7218 220,05001974 219,73686486 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-07 1,1208 1,1192 195,8918 195,8918 219,55552944 219,24210256 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-08 1,1208 1,1192 195,8409 195,8409 219,49848072 219,18513528 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-11 1,1203 1,1187 194,803 194,803 218,2378009 217,9261161 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-12 1,1173 1,1157 195,4407 195,4407 218,36589411 218,05318899 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-13 1,1183 1,1167 195,0994 195,0994 218,17965902 217,86749998 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-14 1,1153 1,1137 194,6122 194,6122 217,05098666 216,73960714 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-15 1,1178 1,1162 189,9252 189,9252 212,29838856 211,99450824 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-18 1,1148 1,1132 187,0999 187,0999 208,57896852 208,27960868 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-19 1,1213 1,1197 188,5671 188,5671 211,44028923 211,13858187 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-20 1,1218 1,1202 185,7171 185,7171 208,33744278 208,04029542 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-21 1,1253 1,1237 186,6323 186,6323 210,01732719 209,71871551 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-22 1,1248 1,1232 187,1228 187,1228 210,47572544 210,17632896 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-25 1,1258 1,1242 189,3701 189,3701 213,19285858 212,88986642 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-26 1,1243 1,1227 188,0815 188,0815 211,46003045 211,15910005 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-27 1,1253 1,1237 187,007 187,007 210,4389771 210,1397659 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-28 1,1248 1,1232 186,536 186,536 209,8156928 209,5172352 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-04-29 1,1268 1,1252 187,6185 187,6185 211,4085258 211,1083362 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-02 1,1313 1,1297 188,9066 188,9066 213,71003658 213,40778602 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-03 1,1343 1,1327 188,1432 188,1432 213,41083176 213,10980264 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-04 1,1323 1,1307 189,1069 189,1069 214,12574287 213,82317183 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-06 1,1313 1,1297 191,0852 191,0852 216,17468676 215,86895044 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-09 1,1288 1,1272 191,5959 191,5959 216,27345192 215,96689848 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-10 1,1328 1,1312 189,0346 189,0346 214,13839488 213,83593952 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-11 1,1398 1,1382 189,1113 189,1113 215,54905974 215,24648166 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-12 1,1418 1,1402 189,3421 189,3421 216,19080978 215,88786242 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-13 1,1373 1,1357 188,6619 188,6619 214,56517887 214,26331983 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-18 1,1373 1,1357 192,8385 192,8385 219,31522605 219,00668445 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-19 1,1328 1,1312 194,3938 194,3938 220,20929664 219,89826656 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-20 1,1338 1,1322 195,2999 195,2999 221,43102662 221,11854678 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-23 1,1303 1,1287 195,7638 195,7638 221,27182314 220,95860106 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-24 1,1323 1,1307 195,1415 195,1415 220,95872045 220,64649405 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-25 1,1353 1,1337 193,478 193,478 219,6555734 219,3460086 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-26 1,1478 1,1462 193,331 193,331 221,9053218 221,5959922 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-27 1,1528 1,1512 193,6994 193,6994 223,29666832 222,98674928 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-30 1,1538 1,1522 194,7107 194,7107 224,65720566 224,34566854 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-05-31 1,1488 1,1472 194,1425 194,1425 223,030904 222,720276 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-01 1,1533 1,1517 196,4932 196,4932 226,61560756 226,30121844 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-02 1,1563 1,1547 196,7896 196,7896 227,54781448 227,23295112 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-03 1,1533 1,1517 195,7469 195,7469 225,75489977 225,44170473 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-07 1,1613 1,1597 195,8213 195,8213 227,40727569 227,09396161 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-08 1,1593 1,1577 196,3733 196,3733 227,65556669 227,34136941 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-09 1,1618 1,1602 197,5187 197,5187 229,47722566 229,16119574 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-10 1,1648 1,1632 197,3632 197,3632 229,88865536 229,57287424 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-13 1,1778 1,1762 199,1801 199,1801 234,59432178 234,27563362 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-14 1,1823 1,1807 200,5282 200,5282 237,08449086 236,76364574 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-15 1,1798 1,1782 200,453 200,453 236,4944494 236,1737246 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-16 1,1773 1,1757 201,1615 201,1615 236,82743395 236,50557555 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-17 1,1798 1,1782 201,5044 201,5044 237,73489112 237,41248408 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-20 1,1728 1,1712 201,2716 201,2716 236,05133248 235,72929792 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-21 1,1803 1,1787 201,0359 201,0359 237,28267277 236,96101533 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-22 1,1773 1,1757 201,798 201,798 237,5767854 237,2539086 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-23 1,1853 1,1837 203,57 203,57 241,291521 240,965809 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-27 1,1838 1,1822 200,554 200,554 237,4158252 237,0949388 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-28 1,1833 1,1817 203,4027 203,4027 240,68641491 240,36097059 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-29 1,1888 1,1872 202,2878 202,2878 240,47973664 240,15607616 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-06-30 1,1933 1,1917 201,2684 201,2684 240,17358172 239,85155228 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-01 1,1983 1,1967 202,9369 202,9369 243,17928727 242,85458823 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-04 1,2048 1,2032 204,025 204,025 245,80932 245,48288 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-05 1,1983 1,1967 205,4763 205,4763 246,22225029 245,89348821 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-06 1,1918 1,1902 205,2216 205,2216 244,58310288 244,25474832 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-07 1,1883 1,1867 203,0845 203,0845 241,32531135 241,00037615 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-08 1,1943 1,1927 204,7659 204,7659 244,55191437 244,22428893 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-11 1,1998 1,1982 204,7462 204,7462 245,65449076 245,32689684 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-12 1,1983 1,1967 203,582 203,582 243,9523106 243,6265794 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-13 1,1908 1,1892 204,7383 204,7383 243,80236764 243,47478636 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-14 1,1838 1,1822 205,9308 205,9308 243,78088104 243,45139176 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-15 1,1823 1,1807 207,3663 207,3663 245,16917649 244,83739041 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-18 1,1808 1,1792 207,7559 207,7559 245,31816672 244,98575728 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-19 1,1768 1,1752 209,3566 209,3566 246,37084688 246,03587632 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-20 1,1768 1,1752 208,1147 208,1147 244,90937896 244,57639544 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-21 1,1863 1,1847 206,8358 206,8358 245,36930954 245,03837226 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-22 1,1868 1,1852 207,2842 207,2842 246,00488856 245,67323384 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-25 1,1863 1,1847 206,3652 206,3652 244,81103676 244,48085244 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-26 1,1913 1,1897 206,2201 206,2201 245,67000513 245,34005297 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-27 1,1978 1,1962 207,3177 207,3177 248,32514106 247,99343274 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-28 1,1928 1,1912 207,1828 207,1828 247,12764384 246,79615136 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-07-29 1,1883 1,1867 205,0018 205,0018 243,60363894 243,27563606 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-01 1,1963 1,1947 203,9794 203,9794 244,02055622 243,69418918 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-02 1,1983 1,1967 205,2516 205,2516 245,95299228 245,62458972 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-03 1,1933 1,1917 204,6101 204,6101 244,16123233 243,83385617 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-04 1,1933 1,1917 203,0606 203,0606 242,31221398 241,98731702 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-05 1,1873 1,1857 202,3569 202,3569 240,25834737 239,93457633 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-08 1,1783 1,1767 202,5157 202,5157 238,62424931 238,30022419 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-09 1,1818 1,1802 204,0383 204,0383 241,13246294 240,80600166 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-10 1,1843 1,1827 204,8002 204,8002 242,54487686 242,21719654 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-11 1,1828 1,1812 204,496 204,496 241,8778688 241,5506752 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-12 1,1793 1,1777 204,4351 204,4351 241,09031343 240,76321727 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-15 1,1768 1,1752 207,2139 207,2139 243,84931752 243,51777528 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-16 1,1653 1,1637 206,2515 206,2515 240,34487295 240,01487055 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-17 1,1773 1,1757 205,4565 205,4565 241,88393745 241,55520705 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-18 1,1773 1,1757 206,5789 206,5789 243,20533897 242,87481273 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-19 1,1748 1,1732 209,0587 209,0587 245,60216076 245,26766684 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-22 1,1728 1,1712 208,494 208,494 244,5217632 244,1881728 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-23 1,1708 1,1692 207,7963 207,7963 243,28790804 242,95543396 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-24 1,1743 1,1727 205,8237 205,8237 241,69877091 241,36945299 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-25 1,1768 1,1752 204,3981 204,3981 240,53568408 240,20864712 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-26 1,1773 1,1757 203,3238 203,3238 239,37310974 239,04779166 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-29 1,1798 1,1782 203,4669 203,4669 240,05024862 239,72470158 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-30 1,1793 1,1777 204,9427 204,9427 241,68892611 241,36101779 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-08-31 1,1848 1,1832 204,0547 204,0547 241,76400856 241,43752104 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-01 1,1888 1,1872 202,4161 202,4161 240,63225968 240,30839392 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-02 1,1948 1,1932 201,1393 201,1393 240,32123564 239,99941276 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-05 1,1903 1,1887 202,7421 202,7421 241,32392163 240,99953427 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-06 1,1898 1,1882 204,6162 204,6162 243,45235476 243,12496884 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-07 1,1938 1,1922 204,6491 204,6491 244,31009558 243,98265702 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-08 1,1988 1,1972 204,4767 204,4767 245,12666796 244,79950524 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-09 1,2008 1,1992 205,7436 205,7436 247,05691488 246,72772512 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-12 1,1953 1,1937 207,9387 207,9387 248,54912811 248,21642619 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-13 1,1938 1,1922 206,5574 206,5574 246,58822412 246,25773228 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-14 1,1953 1,1937 206,0659 206,0659 246,31057027 245,98086483 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-15 1,2003 1,1987 207,3478 207,3478 248,87956434 248,54780786 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-16 1,2008 1,1992 208,8036 208,8036 250,73136288 250,39727712 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-19 1,1973 1,1957 209,3573 209,3573 250,66349529 250,32852361 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-20 1,2018 1,2002 208,4156 208,4156 250,47386808 250,14040312 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-21 1,1988 1,1972 207,0403 207,0403 248,19991164 247,86864716 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-22 1,2018 1,2002 207,8262 207,8262 249,76552716 249,43300524 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-23 1,2043 1,2027 209,101 209,101 251,8203343 251,4857727 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-26 1,1993 1,1977 211,7523 211,7523 253,95453339 253,61572971 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-27 1,2003 1,1987 211,9413 211,9413 254,39314239 254,05403631 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-28 1,2013 1,1997 212,9941 212,9941 255,86981233 255,52902177 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-29 1,2023 1,2007 214,4057 214,4057 257,77997311 257,43692399 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-09-30 1,1918 1,1902 215,0159 215,0159 256,25594962 255,91192418 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-03 1,1798 1,1782 216,9823 216,9823 255,99571754 255,64854586 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-04 1,1838 1,1822 216,0426 216,0426 255,75122988 255,40556172 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-05 1,1788 1,1772 212,176 212,176 250,1130688 249,7735872 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-06 1,1798 1,1782 208,2863 208,2863 245,73617674 245,40291866 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-07 1,1828 1,1812 208,888 208,888 247,0727264 246,7385056 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-10 1,1808 1,1792 208,3123 208,3123 245,97516384 245,64186416 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-11 1,1898 1,1882 208,1542 208,1542 247,66186716 247,32882044 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-12 1,1918 1,1902 205,4902 205,4902 244,90322036 244,57443604 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-13 1,2023 1,2007 205,6432 205,6432 247,24481936 246,91579024 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-14 1,2028 1,2012 204,4443 204,4443 245,90560404 245,57849316 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-17 1,2118 1,2102 205,305 205,305 248,788599 248,460111 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-18 1,2118 1,2102 204,583 204,583 247,9136794 247,5863466 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-19 1,2103 1,2087 204,5683 204,5683 247,58901349 247,26170421 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-20 1,2173 1,2157 202,5493 202,5493 246,56326289 246,23918401 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-21 1,2183 1,2167 202,6917 202,6917 246,93929811 246,61499139 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-24 1,2243 1,2227 206,1727 206,1727 252,41723661 252,08736029 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-25 1,2203 1,2187 204,2842 204,2842 249,28800926 248,96115454 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-26 1,2148 1,2132 203,5535 203,5535 247,2767918 246,9511062 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-27 1,2228 1,2212 200,8862 200,8862 245,64364536 245,32222744 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-28 1,2188 1,2172 203,2085 203,2085 247,6705198 247,3453862 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-10-31 1,2233 1,2217 207,2431 207,2431 253,52048423 253,18889527 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-01 1,2273 1,2257 207,4153 207,4153 254,56079769 254,22893321 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-02 1,2338 1,2322 208,6527 208,6527 257,43570126 257,10185694 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-03 1,2398 1,2382 210,876 210,876 261,4440648 261,1066632 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-04 1,2308 1,2292 212,4824 212,4824 261,52333792 261,18336608 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-07 1,2348 1,2332 213,0686 213,0686 263,09710728 262,75619752 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-08 1,2298 1,2282 212,9514 212,9514 261,88763172 261,54690948 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-09 1,2278 1,2262 211,7567 211,7567 259,99487626 259,65606554 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-10 1,2428 1,2412 212,0172 212,0172 263,49497616 263,15574864 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-11 1,2453 1,2437 214,0629 214,0629 266,57252937 266,23002873 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-14 1,2323 1,2307 214,5827 214,5827 264,43026121 264,08692889 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-15 1,2293 1,2277 214,4925 214,4925 263,67563025 263,33244225 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-16 1,2298 1,2282 215,1734 215,1734 264,62024732 264,27596988 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-17 1,2318 1,2302 218,1477 218,1477 268,71433686 268,36530054 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-18 1,2233 1,2217 219,5863 219,5863 268,61992079 268,26858271 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-21 1,2168 1,2152 220,6978 220,6978 268,54508304 268,19196656 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-22 1,2143 1,2127 220,8202 220,8202 268,14196886 267,78865654 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-23 1,2093 1,2077 220,8982 220,8982 267,13219326 266,77875614 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-24 1,2083 1,2067 220,8731 220,8731 266,88096673 266,52756977 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-25 1,2028 1,2012 221,9476 221,9476 266,95857328 266,60345712 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-28 1,2068 1,2052 220,1855 220,1855 265,7198614 265,3675646 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-29 1,1968 1,1952 222,04 222,04 265,737472 265,382208 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-11-30 1,1983 1,1967 220,6562 220,6562 264,41232446 264,05927454 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-01 1,1963 1,1947 225,1436 225,1436 269,33928868 268,97905892 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-02 1,1993 1,1977 225,3333 225,3333 270,24222669 269,88169341 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-05 1,1908 1,1892 223,0768 223,0768 265,63985344 265,28293056 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-06 1,1948 1,1932 225,885 225,885 269,887398 269,525982 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-07 1,1833 1,1817 224,6605 224,6605 265,84076965 265,48131285 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-08 1,1848 1,1832 222,8154 222,8154 263,99168592 263,63518128 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-12 1,1888 1,1872 223,2666 223,2666 265,41933408 265,06210752 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-13 1,1853 1,1837 224,2655 224,2655 265,82189715 265,46307235 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-14 1,1888 1,1872 223,3857 223,3857 265,56092016 265,20350304 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-15 1,1868 1,1852 223,6617 223,6617 265,44170556 265,08384684 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-16 1,1943 1,1927 223,5375 223,5375 266,97083625 266,61317625 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-19 1,1818 1,1802 223,2538 223,2538 263,84134084 263,48413476 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-20 1,1728 1,1712 226,5267 226,5267 265,67051376 265,30807104 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-21 1,1728 1,1712 228,9967 228,9967 268,56732976 268,20093504 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-22 1,1778 1,1762 228,4959 228,4959 269,12247102 268,75687758 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-23 1,1738 1,1722 228,7992 228,7992 268,56450096 268,19842224 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-27 1,1833 1,1817 226,5702 226,5702 268,10051766 267,73800534 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-28 1,1763 1,1747 227,0036 227,0036 267,02433468 266,66112892 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-29 1,1718 1,1702 226,9974 226,9974 265,99555332 265,63235748 290668 ABN AMRO Kapitalforvaltning AS ABN AMRO Global Quant NOK 2005-12-30 1,1768 1,1752 225,6243 225,6243 265,51467624 265,15367736 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-03 1,0958 1,0942 1246,2473 1246,2473 1365,63779134 1363,64379566 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-04 1,0963 1,0947 1249,4249 1249,4249 1369,74451787 1367,74543803 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-05 1,0923 1,0907 1231,8884 1231,8884 1345,59169932 1343,62067788 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-07 1,0978 1,0962 1258,1231 1258,1231 1381,16753918 1379,15454222 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-10 1,1082 1,1066 1263,7534 1263,7534 1400,49151788 1398,46951244 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-11 1,1082 1,1066 1251,568 1251,568 1386,9876576 1384,9851488 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-12 1,1038 1,1022 1253,9835 1253,9835 1384,1469873 1382,1406137 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-13 1,1023 1,1007 1262,974 1262,974 1392,1762402 1390,1554818 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-14 1,1073 1,1057 1271,3257 1271,3257 1407,73894761 1405,70482649 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-17 1,1058 1,1042 1290,2691 1290,2691 1426,77957078 1424,71514022 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-18 1,1083 1,1067 1288,6652 1288,6652 1428,22764116 1426,16577684 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-19 1,1083 1,1067 1292,8648 1292,8648 1432,88205784 1430,81347416 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-20 1,1073 1,1057 1271,0625 1271,0625 1407,44750625 1405,41380625 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-21 1,1038 1,1022 1283,6913 1283,6913 1416,93845694 1414,88455086 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-24 1,1053 1,1037 1278,9046 1278,9046 1413,57325438 1411,52700702 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-25 1,1063 1,1047 1302,4262 1302,4262 1440,87410506 1438,79022314 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-26 1,1038 1,1022 1304,3921 1304,3921 1439,78799998 1437,70097262 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-27 1,0988 1,0972 1306,8393 1306,8393 1435,95502284 1433,86407996 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-28 1,1033 1,1017 1312,2527 1312,2527 1447,80840391 1445,70879959 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-01-31 1,1028 1,1012 1310,385 1310,385 1445,092578 1442,995962 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-01 1,0983 1,0967 1317,781 1317,781 1447,3188723 1445,2104227 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-02 1,0988 1,0972 1322,1714 1322,1714 1452,80193432 1450,68646008 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-03 1,0983 1,0967 1323,6141 1323,6141 1453,72536603 1451,60758347 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-04 1,0968 1,0952 1348,1758 1348,1758 1478,67921744 1476,52213616 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-07 1,0938 1,0922 1370,1967 1370,1967 1498,72115046 1496,52883574 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-08 1,0898 1,0882 1351,9988 1351,9988 1473,40829224 1471,24509416 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-09 1,0843 1,0827 1351,6579 1351,6579 1465,60266097 1463,44000833 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-10 1,0848 1,0832 1347,6969 1347,6969 1461,98159712 1459,82528208 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-11 1,0788 1,0772 1361,3804 1361,3804 1468,65717552 1466,47896688 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-14 1,0828 1,0812 1370,9096 1370,9096 1484,42091488 1482,22745952 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-15 1,0833 1,0817 1371,681 1371,681 1485,9420273 1483,7473377 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-16 1,0848 1,0832 1356,0696 1356,0696 1471,06430208 1468,89459072 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-17 1,0863 1,0847 1367,2947 1367,2947 1485,29223261 1483,10456109 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-18 1,0943 1,0927 1349,9696 1349,9696 1477,27173328 1475,11178192 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-21 1,0998 1,0982 1353,157 1353,157 1488,2020686 1486,0370174 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-22 1,1028 1,1012 1342,3341 1342,3341 1480,32604548 1478,17831092 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-23 1,1023 1,1007 1340,9338 1340,9338 1478,11132774 1475,96583366 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-24 1,1013 1,0997 1365,8239 1365,8239 1504,18186107 1501,99654283 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-25 1,1018 1,1002 1392,082 1392,082 1533,7959476 1531,5686164 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-02-28 1,0968 1,0952 1395,4716 1395,4716 1530,55325088 1528,32049632 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-01 1,1013 1,0997 1396,1502 1396,1502 1537,58021526 1535,34637494 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-02 1,1068 1,1052 1391,0652 1391,0652 1539,63096336 1537,40525904 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-03 1,1058 1,1042 1408,2638 1408,2638 1557,25811004 1555,00488796 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-04 1,1013 1,0997 1435,8615 1435,8615 1581,31426995 1579,01689155 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-07 1,1003 1,0987 1445,0809 1445,0809 1590,02251427 1587,71038483 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-08 1,1033 1,1017 1446,3753 1446,3753 1595,78586849 1593,47166801 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-09 1,1053 1,1037 1447,1781 1447,1781 1599,56595393 1597,25046897 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-10 1,1053 1,1037 1434,5323 1434,5323 1585,58855119 1583,29329951 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-11 1,1113 1,1097 1439,9326 1439,9326 1600,19709838 1597,89320622 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-14 1,1113 1,1097 1433,0616 1433,0616 1592,56135608 1590,26845752 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-15 1,1138 1,1122 1439,4386 1439,4386 1603,24671268 1600,94361092 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-16 1,1128 1,1112 1416,294 1416,294 1576,0519632 1573,7858928 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-17 1,1193 1,1177 1433,6818 1433,6818 1604,72003874 1602,42614786 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-18 1,1193 1,1177 1434,1094 1434,1094 1605,19865142 1602,90407638 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-21 1,1218 1,1202 1433,8006 1433,8006 1608,43751308 1606,14343212 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-22 1,1183 1,1167 1429,7333 1429,7333 1598,87074939 1596,58317611 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-23 1,1158 1,1142 1412,9748 1412,9748 1576,59728184 1574,33652216 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-29 1,1103 1,1087 1402,7086 1402,7086 1557,42735858 1555,18302482 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-30 1,1168 1,1152 1387,8186 1387,8186 1549,91581248 1547,69530272 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-03-31 1,1163 1,1147 1410,8102 1410,8102 1574,88742626 1572,63012994 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-01 1,1173 1,1157 1431,0104 1431,0104 1598,86791992 1596,57830328 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-04 1,1198 1,1182 1441,6016 1441,6016 1614,30547168 1611,99890912 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-05 1,1223 1,1207 1448,76 1448,76 1625,943348 1623,625332 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-06 1,1243 1,1227 1459,8897 1459,8897 1641,35398971 1639,01816619 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-07 1,1208 1,1192 1475,4004 1475,4004 1653,62876832 1651,26812768 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-08 1,1208 1,1192 1485,2892 1485,2892 1664,71213536 1662,33567264 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-11 1,1203 1,1187 1476,5607 1476,5607 1654,19095221 1651,82845509 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-12 1,1173 1,1157 1486,5882 1486,5882 1660,96499586 1658,58645474 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-13 1,1183 1,1167 1487,706 1487,706 1663,7016198 1661,3212902 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-14 1,1153 1,1137 1477,4041 1477,4041 1647,74879273 1645,38494617 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-15 1,1178 1,1162 1444,8782 1444,8782 1615,08485196 1612,77304684 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-18 1,1148 1,1132 1393,076 1393,076 1553,0011248 1550,7722032 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-19 1,1213 1,1197 1402,7395 1402,7395 1572,89180135 1570,64741815 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-20 1,1218 1,1202 1406,7477 1406,7477 1578,08956986 1575,83877354 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-21 1,1253 1,1237 1405,126 1405,126 1581,1882878 1578,9400862 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-22 1,1248 1,1232 1417,4991 1417,4991 1594,40298768 1592,13498912 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-25 1,1258 1,1242 1424,0531 1424,0531 1603,19897998 1600,92049502 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-26 1,1243 1,1227 1407,5321 1407,5321 1582,48834003 1580,23628867 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-27 1,1253 1,1237 1365,7007 1365,7007 1536,82299771 1534,63787659 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-28 1,1248 1,1232 1346,5565 1346,5565 1514,6067512 1512,4522608 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-04-29 1,1268 1,1252 1342,9182 1342,9182 1513,20022776 1511,05155864 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-02 1,1313 1,1297 1356,7462 1356,7462 1534,88697606 1532,71618214 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-03 1,1343 1,1327 1366,1969 1366,1969 1549,67714367 1547,49122863 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-04 1,1323 1,1307 1360,2402 1360,2402 1540,19997846 1538,02359414 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-06 1,1313 1,1297 1391,7288 1391,7288 1574,46279144 1572,23602536 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-09 1,1288 1,1272 1405,4342 1405,4342 1586,45412496 1584,20543024 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-10 1,1328 1,1312 1399,2737 1399,2737 1585,09724736 1582,85840944 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-11 1,1398 1,1382 1401,1869 1401,1869 1597,07282862 1594,83092958 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-12 1,1418 1,1402 1396,7571 1396,7571 1594,81725678 1592,58244542 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-13 1,1373 1,1357 1378,0989 1378,0989 1567,31187897 1565,10692073 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-18 1,1373 1,1357 1386,2964 1386,2964 1576,63489572 1574,41682148 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-19 1,1328 1,1312 1401,0898 1401,0898 1587,15452544 1584,91278176 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-20 1,1338 1,1322 1410,0106 1410,0106 1598,67001828 1596,41400132 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-23 1,1303 1,1287 1411,4594 1411,4594 1595,37255982 1593,11422478 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-24 1,1323 1,1307 1419,7241 1419,7241 1607,55359843 1605,28203987 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-25 1,1353 1,1337 1419,8642 1419,8642 1611,97182626 1609,70004354 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-26 1,1478 1,1462 1444,1122 1444,1122 1657,55198316 1655,24140364 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-27 1,1528 1,1512 1453,0242 1453,0242 1675,04629776 1672,72145904 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-30 1,1538 1,1522 1457,5961 1457,5961 1681,77438018 1679,44222642 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-05-31 1,1488 1,1472 1449,2671 1449,2671 1664,91804448 1662,59921712 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-01 1,1533 1,1517 1466,2267 1466,2267 1690,99925311 1688,65329039 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-02 1,1563 1,1547 1472,5533 1472,5533 1702,71338079 1700,35729551 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-03 1,1533 1,1517 1472,9479 1472,9479 1698,75081307 1696,39409643 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-07 1,1613 1,1597 1482,2685 1482,2685 1721,35840905 1718,98677945 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-08 1,1593 1,1577 1504,6591 1504,6591 1744,35129463 1741,94384007 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-09 1,1618 1,1602 1503,169 1503,169 1746,3817442 1743,9766738 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-10 1,1648 1,1632 1520,8065 1520,8065 1771,4354112 1769,0021208 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-13 1,1778 1,1762 1512,3709 1512,3709 1781,27044602 1778,85065258 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-14 1,1823 1,1807 1525,9689 1525,9689 1804,15303047 1801,71148023 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-15 1,1798 1,1782 1528,1062 1528,1062 1802,85969476 1800,41472484 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-16 1,1773 1,1757 1541,6502 1541,6502 1814,98478046 1812,51814014 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-17 1,1798 1,1782 1553,001 1553,001 1832,2305798 1829,7457782 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-20 1,1728 1,1712 1562,1428 1562,1428 1832,08107584 1829,58164736 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-21 1,1803 1,1787 1572,2087 1572,2087 1855,67792861 1853,16239469 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-22 1,1773 1,1757 1570,3443 1570,3443 1848,76634439 1846,25379351 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-23 1,1853 1,1837 1584,1792 1584,1792 1877,72760576 1875,19291904 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-27 1,1838 1,1822 1576,9734 1576,9734 1866,82111092 1864,29795348 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-28 1,1833 1,1817 1601,8029 1601,8029 1895,41337157 1892,85048693 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-29 1,1888 1,1872 1607,9957 1607,9957 1911,58528816 1909,01249504 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-06-30 1,1933 1,1917 1608,2662 1608,2662 1919,14405646 1916,57083054 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-01 1,1983 1,1967 1619,8584 1619,8584 1941,07632072 1938,48454728 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-04 1,2048 1,2032 1630,5509 1630,5509 1964,48772432 1961,87884288 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-05 1,1983 1,1967 1635,3 1635,3 1959,57999 1956,96351 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-06 1,1918 1,1902 1666,4399 1666,4399 1986,06307282 1983,39676898 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-07 1,1883 1,1867 1630,6455 1630,6455 1937,69604765 1935,08701485 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-08 1,1943 1,1927 1674,2271 1674,2271 1999,52942553 1996,85066217 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-11 1,1998 1,1982 1678,7301 1678,7301 2014,14037398 2011,45440582 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-12 1,1983 1,1967 1669,308 1669,308 2000,3317764 1997,6608836 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-13 1,1908 1,1892 1679,2835 1679,2835 1999,6907918 1997,0039382 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-14 1,1838 1,1822 1681,5701 1681,5701 1990,64268438 1987,95217222 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-15 1,1823 1,1807 1667,0943 1667,0943 1971,00559089 1968,33824001 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-18 1,1808 1,1792 1667,628 1667,628 1969,1351424 1966,4669376 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-19 1,1768 1,1752 1665,0439 1665,0439 1959,42366152 1956,75959128 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-20 1,1768 1,1752 1660,0825 1660,0825 1953,585086 1950,928954 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-21 1,1863 1,1847 1663,986 1663,986 1973,9865918 1971,3242142 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-22 1,1868 1,1852 1681,0106 1681,0106 1995,02338008 1992,33376312 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-25 1,1863 1,1847 1704,5548 1704,5548 2022,11335924 2019,38607156 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-26 1,1913 1,1897 1706,0546 1706,0546 2032,42284498 2029,69315762 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-27 1,1978 1,1962 1706,6903 1706,6903 2044,27364134 2041,54293686 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-28 1,1928 1,1912 1710,0872 1710,0872 2039,79201216 2037,05587264 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-07-29 1,1883 1,1867 1732,3285 1732,3285 2058,52595655 2055,75423095 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-01 1,1963 1,1947 1737,0243 1737,0243 2078,00217009 2075,22293121 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-02 1,1983 1,1967 1766,2009 1766,2009 2116,43853847 2113,61261703 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-03 1,1933 1,1917 1774,36 1774,36 2117,343788 2114,504812 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-04 1,1933 1,1917 1763,3343 1763,3343 2104,18682019 2101,36548531 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-05 1,1873 1,1857 1762,5403 1762,5403 2092,66409819 2089,84403371 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-08 1,1783 1,1767 1781,6097 1781,6097 2099,27070951 2096,42013399 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-09 1,1818 1,1802 1794,6239 1794,6239 2120,88652502 2118,01512678 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-10 1,1843 1,1827 1800,5558 1800,5558 2132,39823394 2129,51734466 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-11 1,1828 1,1812 1807,26 1807,26 2137,627128 2134,735512 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-12 1,1793 1,1777 1815,8876 1815,8876 2141,47624668 2138,57082652 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-15 1,1768 1,1752 1836,8896 1836,8896 2161,65168128 2158,71265792 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-16 1,1653 1,1637 1808,1649 1808,1649 2107,05455797 2104,16149413 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-17 1,1773 1,1757 1785,5493 1785,5493 2102,12719089 2099,27031201 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-18 1,1773 1,1757 1786,979 1786,979 2103,8103767 2100,9512103 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-19 1,1748 1,1732 1818,3788 1818,3788 2136,23141424 2133,32200816 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-22 1,1728 1,1712 1839,067 1839,067 2156,8577776 2153,9152704 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-23 1,1708 1,1692 1841,3188 1841,3188 2155,81605104 2152,86994096 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-24 1,1743 1,1727 1820,2632 1820,2632 2137,53507576 2134,62265464 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-25 1,1768 1,1752 1818,71 1818,71 2140,257928 2137,347992 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-26 1,1773 1,1757 1834,4188 1834,4188 2159,66125324 2156,72618316 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-29 1,1798 1,1782 1844,5351 1844,5351 2176,18251098 2173,23125482 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-30 1,1793 1,1777 1861,7657 1861,7657 2195,58029001 2192,60146489 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-08-31 1,1848 1,1832 1863,2066 1863,2066 2207,52717968 2204,54604912 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-01 1,1888 1,1872 1883,4242 1883,4242 2239,01468896 2236,00121024 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-02 1,1948 1,1932 1874,3806 1874,3806 2239,50994088 2236,51093192 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-05 1,1903 1,1887 1865,159 1865,159 2220,0987577 2217,1145033 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-06 1,1898 1,1882 1879,7293 1879,7293 2236,50192114 2233,49435426 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-07 1,1938 1,1922 1870,6699 1870,6699 2233,20572662 2230,21265478 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-08 1,1988 1,1972 1857,5425 1857,5425 2226,821949 2223,849881 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-09 1,2008 1,1992 1856,7711 1856,7711 2229,61073688 2226,63990312 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-12 1,1953 1,1937 1873,7659 1873,7659 2239,71238027 2236,71435483 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-13 1,1938 1,1922 1853,3702 1853,3702 2212,55334476 2209,58795244 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-14 1,1953 1,1937 1862,311 1862,311 2226,0203383 2223,0406407 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-15 1,2003 1,1987 1881,8043 1881,8043 2258,72970129 2255,71881441 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-16 1,2008 1,1992 1895,5384 1895,5384 2276,16251072 2273,12964928 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-19 1,1973 1,1957 1921,5899 1921,5899 2300,71958727 2297,64504343 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-20 1,2018 1,2002 1933,9367 1933,9367 2324,20512606 2321,11082734 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-21 1,1988 1,1972 1939,0595 1939,0595 2324,5445286 2321,4420334 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-22 1,2018 1,2002 1938,9785 1938,9785 2330,2643613 2327,1619957 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-23 1,2043 1,2027 1919,4207 1919,4207 2311,55834901 2308,48727589 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-26 1,1993 1,1977 1916,9684 1916,9684 2299,02020212 2295,95305268 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-27 1,2003 1,1987 1917,5047 1917,5047 2301,58089141 2298,51288389 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-28 1,2013 1,1997 1928,2255 1928,2255 2316,37729315 2313,29213235 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-29 1,2023 1,2007 1939,186 1939,186 2331,4833278 2328,3806302 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-09-30 1,1918 1,1902 1946,878 1946,878 2320,2892004 2317,1741956 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-03 1,1798 1,1782 1961,2716 1961,2716 2313,90823368 2310,77019912 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-04 1,1838 1,1822 1957,6544 1957,6544 2317,47127872 2314,33903168 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-05 1,1788 1,1772 1927,7525 1927,7525 2272,434647 2269,350243 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-06 1,1798 1,1782 1836,8606 1836,8606 2167,12813588 2164,18915892 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-07 1,1828 1,1812 1828,9392 1828,9392 2163,26928576 2160,34298304 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-10 1,1808 1,1792 1824,5262 1824,5262 2154,40053696 2151,48129504 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-11 1,1898 1,1882 1825,2279 1825,2279 2171,65615542 2168,73579078 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-12 1,1918 1,1902 1824,871 1824,871 2174,8812578 2171,9614642 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-13 1,2023 1,2007 1737,2251 1737,2251 2088,66573773 2085,88617757 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-14 1,2028 1,2012 1700,7275 1700,7275 2045,635037 2042,913873 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-17 1,2118 1,2102 1723,6337 1723,6337 2088,69931766 2085,94150374 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-18 1,2118 1,2102 1670,1524 1670,1524 2023,89067832 2021,21843448 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-19 1,2103 1,2087 1610,6137 1610,6137 1949,32576111 1946,74877919 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-20 1,2173 1,2157 1668,4799 1668,4799 2031,04058227 2028,37101443 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-21 1,2183 1,2167 1654,2232 1654,2232 2015,34012456 2012,69336744 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-24 1,2243 1,2227 1713,3309 1713,3309 2097,63102087 2094,88969143 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-25 1,2203 1,2187 1726,5635 1726,5635 2106,92543905 2104,16293745 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-26 1,2148 1,2132 1746,332 1746,332 2121,4441136 2118,6499824 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-27 1,2228 1,2212 1720,755 1720,755 2104,139214 2101,386006 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-28 1,2188 1,2172 1701,7699 1701,7699 2074,11715412 2071,39432228 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-10-31 1,2233 1,2217 1752,225 1752,225 2143,4968425 2140,6932825 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-01 1,2273 1,2257 1734,1979 1734,1979 2128,38108267 2125,60636603 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-02 1,2338 1,2322 1742,4778 1742,4778 2149,86910964 2147,08114516 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-03 1,2398 1,2382 1795,4597 1795,4597 2226,01093606 2223,13820054 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-04 1,2308 1,2292 1799,9544 1799,9544 2215,38387552 2212,50394848 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-07 1,2348 1,2332 1802,3324 1802,3324 2225,52004752 2222,63631568 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-08 1,2298 1,2282 1781,4664 1781,4664 2190,84737872 2187,99703248 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-09 1,2278 1,2262 1790,4528 1790,4528 2198,31794784 2195,45322336 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-10 1,2428 1,2412 1784,7371 1784,7371 2218,07126788 2215,21568852 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-11 1,2453 1,2437 1777,1258 1777,1258 2213,05475874 2210,21135746 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-14 1,2323 1,2307 1779,1336 1779,1336 2192,42633528 2189,57972152 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-15 1,2293 1,2277 1765,0159 1765,0159 2169,73404587 2166,91002043 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-16 1,2298 1,2282 1744,5538 1744,5538 2145,45226324 2142,66097716 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-17 1,2318 1,2302 1774,7619 1774,7619 2186,15170842 2183,31208938 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-18 1,2233 1,2217 1772,372 1772,372 2168,1426676 2165,3068724 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-21 1,2168 1,2152 1781,5242 1781,5242 2167,75864656 2164,90820784 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-22 1,2143 1,2127 1801,7291 1801,7291 2187,83964613 2184,95687957 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-23 1,2093 1,2077 1804,6073 1804,6073 2182,31160789 2179,42423621 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-24 1,2083 1,2067 1799,3294 1799,3294 2174,12971402 2171,25078698 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-25 1,2028 1,2012 1817,8866 1817,8866 2186,55400248 2183,64538392 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-28 1,2068 1,2052 1832,7339 1832,7339 2211,74327052 2208,81089628 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-29 1,1968 1,1952 1841,6624 1841,6624 2204,10156032 2201,15490048 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-11-30 1,1983 1,1967 1858,9501 1858,9501 2227,57990483 2224,60558467 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-01 1,1963 1,1947 1873,6181 1873,6181 2241,40933303 2238,41154407 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-02 1,1993 1,1977 1896,0513 1896,0513 2273,93432409 2270,90064201 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-05 1,1908 1,1892 1900,325 1900,325 2262,90701 2259,86649 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-06 1,1948 1,1932 1912,8969 1912,8969 2285,52921612 2282,46858108 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-07 1,1833 1,1817 1937,1162 1937,1162 2292,18959946 2289,09021354 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-08 1,1848 1,1832 1933,892 1933,892 2291,2752416 2288,1810144 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-12 1,1888 1,1872 1949,8547 1949,8547 2317,98726736 2314,86749984 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-13 1,1853 1,1837 1962,5613 1962,5613 2326,22390889 2323,08381081 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-14 1,1888 1,1872 1955,296 1955,296 2324,4558848 2321,3274112 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-15 1,1868 1,1852 1947,9458 1947,9458 2311,82207544 2308,70536216 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-16 1,1943 1,1927 1918,6054 1918,6054 2291,39042922 2288,32066058 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-19 1,1818 1,1802 1898,4545 1898,4545 2243,5935281 2240,5560009 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-20 1,1728 1,1712 1918,8506 1918,8506 2250,42798368 2247,35782272 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-21 1,1728 1,1712 1940,0364 1940,0364 2275,27468992 2272,17063168 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-22 1,1778 1,1762 1958,2018 1958,2018 2306,37008004 2303,23695716 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-23 1,1738 1,1722 1964,4719 1964,4719 2305,89711622 2302,75396118 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-27 1,1833 1,1817 1965,5556 1965,5556 2325,84194148 2322,69705252 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-28 1,1763 1,1747 1979,7602 1979,7602 2328,79192326 2325,62430694 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-29 1,1718 1,1702 1981,9502 1981,9502 2322,44924436 2319,27812404 785550 ABN AMRO Kapitalforvaltning AS ABN AMRO Kapital NOK 2005-12-30 1,1768 1,1752 1980,9859 1980,9859 2331,22420712 2328,05462968 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-03 1,0958 1,0942 159,9917 159,9917 175,31890486 175,06291814 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-04 1,0963 1,0947 160,3833 160,3833 175,82821179 175,57159851 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-05 1,0923 1,0907 158,8278 158,8278 173,48760594 173,23348146 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-07 1,0978 1,0962 159,5473 159,5473 175,15102594 174,89575026 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-10 1,1082 1,1066 160,6633 160,6633 178,04706906 177,79000778 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-11 1,1082 1,1066 159,1812 159,1812 176,40460584 176,14991592 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-12 1,1038 1,1022 157,041 157,041 173,3418558 173,0905902 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-13 1,1023 1,1007 157,4721 157,4721 173,58149583 173,32954047 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-14 1,1073 1,1057 158,5829 158,5829 175,59884517 175,34511253 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-17 1,1058 1,1042 159,9918 159,9918 176,91893244 176,66294556 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-18 1,1083 1,1067 158,5264 158,5264 175,69480912 175,44116688 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-19 1,1083 1,1067 159,2394 159,2394 176,48502702 176,23024398 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-20 1,1073 1,1057 157,3995 157,3995 174,28846635 174,03662715 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-21 1,1038 1,1022 157,5376 157,5376 173,89000288 173,63794272 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-24 1,1053 1,1037 155,7113 155,7113 172,10769989 171,85856181 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-25 1,1063 1,1047 157,2645 157,2645 173,98171635 173,73009315 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-26 1,1038 1,1022 158,112 158,112 174,5240256 174,2710464 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-27 1,0988 1,0972 159,5741 159,5741 175,34002108 175,08470252 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-28 1,1033 1,1017 159,579 159,579 176,0635107 175,8081843 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-01-31 1,1028 1,1012 160,4683 160,4683 176,96444124 176,70769196 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-01 1,0983 1,0967 161,7329 161,7329 177,63124407 177,37247143 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-02 1,0988 1,0972 162,8241 162,8241 178,91112108 178,65060252 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-03 1,0983 1,0967 163,0219 163,0219 179,04695277 178,78611773 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-04 1,0968 1,0952 164,6723 164,6723 180,61257864 180,34910296 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-07 1,0938 1,0922 167,3936 167,3936 183,09511968 182,82728992 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-08 1,0898 1,0882 167,8014 167,8014 182,86996572 182,60148348 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-09 1,0843 1,0827 168,2124 168,2124 182,39270532 182,12356548 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-10 1,0848 1,0832 167,5639 167,5639 181,77331872 181,50521648 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-11 1,0788 1,0772 167,876 167,876 181,1046288 180,8360272 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-14 1,0828 1,0812 168,8423 168,8423 182,82244244 182,55229476 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-15 1,0833 1,0817 169,8046 169,8046 183,94932318 183,67763582 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-16 1,0848 1,0832 167,9301 167,9301 182,17057248 181,90188432 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-17 1,0863 1,0847 169,1811 169,1811 183,78142893 183,51073917 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-18 1,0943 1,0927 166,3672 166,3672 182,05562696 181,78943944 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-21 1,0998 1,0982 166,0009 166,0009 182,56778982 182,30218838 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-22 1,1028 1,1012 164,9824 164,9824 181,94259072 181,67861888 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-23 1,1023 1,1007 165,019 165,019 181,9004437 181,6364133 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-24 1,1013 1,0997 166,3035 166,3035 183,15004455 182,88395895 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-25 1,1018 1,1002 168,145 168,145 185,262161 184,993129 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-02-28 1,0968 1,0952 168,0815 168,0815 184,3517892 184,0828588 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-01 1,1013 1,0997 167,9175 167,9175 184,92754275 184,65887475 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-02 1,1068 1,1052 168,1685 168,1685 186,1288958 185,8598262 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-03 1,1058 1,1042 170,3904 170,3904 188,41770432 188,14507968 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-04 1,1013 1,0997 171,879 171,879 189,2903427 189,0153363 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-07 1,1003 1,0987 172,567 172,567 189,8754701 189,5993629 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-08 1,1033 1,1017 172,063 172,063 189,8371079 189,5618071 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-09 1,1053 1,1037 171,4862 171,4862 189,54369686 189,26931894 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-10 1,1053 1,1037 169,5927 169,5927 187,45081131 187,17946299 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-11 1,1113 1,1097 170,2259 170,2259 189,17204267 188,89968123 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-14 1,1113 1,1097 169,8376 169,8376 188,74052488 188,46878472 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-15 1,1138 1,1122 171,0606 171,0606 190,52729628 190,25359932 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-16 1,1128 1,1112 169,4172 169,4172 188,52746016 188,25639264 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-17 1,1193 1,1177 168,8391 168,8391 188,98160463 188,71146207 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-18 1,1193 1,1177 168,8983 168,8983 189,04786719 188,77762991 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-21 1,1218 1,1202 168,573 168,573 189,1051914 188,8354746 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-22 1,1183 1,1167 169,0915 169,0915 189,09502445 188,82447805 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-23 1,1158 1,1142 167,7675 167,7675 187,1949765 186,9265485 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-29 1,1103 1,1087 168,4921 168,4921 187,07677863 186,80719127 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-30 1,1168 1,1152 167,4825 167,4825 187,044456 186,776484 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-03-31 1,1163 1,1147 169,324 169,324 189,0163812 188,7454628 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-01 1,1173 1,1157 168,7521 168,7521 188,54672133 188,27671797 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-04 1,1198 1,1182 168,885 168,885 189,117423 188,847207 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-05 1,1223 1,1207 169,9198 169,9198 190,70099154 190,42911986 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-06 1,1243 1,1227 171,4048 171,4048 192,71041664 192,43616896 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-07 1,1208 1,1192 172,4904 172,4904 193,32724032 193,05125568 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-08 1,1208 1,1192 173,6352 173,6352 194,61033216 194,33251584 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-11 1,1203 1,1187 173,6389 173,6389 194,52765967 194,24983743 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-12 1,1173 1,1157 173,2828 173,2828 193,60887244 193,33161996 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-13 1,1183 1,1167 174,2704 174,2704 194,88658832 194,60775568 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-14 1,1153 1,1137 174,706 174,706 194,8496018 194,5700722 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-15 1,1178 1,1162 171,3426 171,3426 191,52675828 191,25261012 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-18 1,1148 1,1132 167,1205 167,1205 186,3059334 186,0385406 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-19 1,1213 1,1197 168,7748 168,7748 189,24718324 188,97714356 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-20 1,1218 1,1202 169,3461 169,3461 189,97245498 189,70150122 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-21 1,1253 1,1237 170,0307 170,0307 191,33554671 191,06349759 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-22 1,1248 1,1232 171,7575 171,7575 193,192836 192,918024 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-25 1,1258 1,1242 171,6046 171,6046 193,19245868 192,91789132 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-26 1,1243 1,1227 170,1934 170,1934 191,34843962 191,07613018 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-27 1,1253 1,1237 166,2129 166,2129 187,03937637 186,77343573 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-28 1,1248 1,1232 164,5363 164,5363 185,07043024 184,80717216 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-04-29 1,1268 1,1252 164,4709 164,4709 185,32581012 185,06265668 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-02 1,1313 1,1297 165,5182 165,5182 187,25073966 186,98591054 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-03 1,1343 1,1327 165,1405 165,1405 187,31886915 187,05464435 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-04 1,1323 1,1307 165,7558 165,7558 187,68529234 187,42008306 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-06 1,1313 1,1297 169,0708 169,0708 191,26979604 190,99928276 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-09 1,1288 1,1272 169,5068 169,5068 191,33927584 191,06806496 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-10 1,1328 1,1312 168,5152 168,5152 190,89401856 190,62439424 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-11 1,1398 1,1382 168,6349 168,6349 192,21005902 191,94024318 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-12 1,1418 1,1402 168,9182 168,9182 192,87080076 192,60053164 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-13 1,1373 1,1357 168,5625 168,5625 191,70613125 191,43643125 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-18 1,1373 1,1357 171,0045 171,0045 194,48341785 194,20981065 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-19 1,1328 1,1312 171,7376 171,7376 194,54435328 194,26957312 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-20 1,1338 1,1322 172,1005 172,1005 195,1275469 194,8521861 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-23 1,1303 1,1287 172,2534 172,2534 194,69801802 194,42241258 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-24 1,1323 1,1307 172,071 172,071 194,8359933 194,5606797 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-25 1,1353 1,1337 171,8948 171,8948 195,15216644 194,87713476 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-26 1,1478 1,1462 171,6746 171,6746 197,04810588 196,77342652 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-27 1,1528 1,1512 172,1163 172,1163 198,41567064 198,14028456 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-30 1,1538 1,1522 172,3544 172,3544 198,86250672 198,58673968 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-05-31 1,1488 1,1472 172,3945 172,3945 198,0468016 197,7709704 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-01 1,1533 1,1517 172,5725 172,5725 199,02786425 198,75174825 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-02 1,1563 1,1547 172,7421 172,7421 199,74169023 199,46530287 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-03 1,1533 1,1517 172,9486 172,9486 199,46162038 199,18490262 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-07 1,1613 1,1597 171,9158 171,9158 199,64581854 199,37075326 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-08 1,1593 1,1577 173,9361 173,9361 201,64412073 201,36582297 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-09 1,1618 1,1602 173,5978 173,5978 201,68592404 201,40816756 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-10 1,1648 1,1632 173,9604 173,9604 202,62907392 202,35073728 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-13 1,1778 1,1762 173,5245 173,5245 204,3771561 204,0995169 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-14 1,1823 1,1807 174,795 174,795 206,6601285 206,3804565 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-15 1,1798 1,1782 175,8159 175,8159 207,42759882 207,14629338 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-16 1,1773 1,1757 176,6078 176,6078 207,92036294 207,63779046 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-17 1,1798 1,1782 178,0865 178,0865 210,1064527 209,8215143 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-20 1,1728 1,1712 177,8178 177,8178 208,54471584 208,26020736 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-21 1,1803 1,1787 178,8342 178,8342 211,07800626 210,79187154 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-22 1,1773 1,1757 179,3286 179,3286 211,12356078 210,83663502 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-23 1,1853 1,1837 180,5988 180,5988 214,06375764 213,77479956 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-27 1,1838 1,1822 178,3277 178,3277 211,10433126 210,81900694 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-28 1,1833 1,1817 179,5145 179,5145 212,41950785 212,13228465 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-29 1,1888 1,1872 179,6456 179,6456 213,56268928 213,27525632 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-06-30 1,1933 1,1917 179,9424 179,9424 214,72526592 214,43735808 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-01 1,1983 1,1967 179,8972 179,8972 215,57081476 215,28297924 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-04 1,2048 1,2032 181,16 181,16 218,261568 217,971712 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-05 1,1983 1,1967 182,1671 182,1671 218,29083593 217,99936857 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-06 1,1918 1,1902 183,839 183,839 219,0993202 218,8051778 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-07 1,1883 1,1867 180,203 180,203 214,1352249 213,8469001 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-08 1,1943 1,1927 182,9092 182,9092 218,44845756 218,15580284 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-11 1,1998 1,1982 184,4334 184,4334 221,28319332 220,98809988 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-12 1,1983 1,1967 184,134 184,134 220,6477722 220,3531578 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-13 1,1908 1,1892 185,7892 185,7892 221,23777936 220,94051664 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-14 1,1838 1,1822 186,1722 186,1722 220,39065036 220,09277484 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-15 1,1823 1,1807 185,5846 185,5846 219,41667258 219,11973722 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-18 1,1808 1,1792 185,7086 185,7086 219,28471488 218,98758112 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-19 1,1768 1,1752 186,2481 186,2481 219,17676408 218,87876712 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-20 1,1768 1,1752 184,173 184,173 216,7347864 216,4401096 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-21 1,1863 1,1847 183,2121 183,2121 217,34451423 217,05137487 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-22 1,1868 1,1852 184,3364 184,3364 218,77043952 218,47550128 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-25 1,1863 1,1847 183,8834 183,8834 218,14087742 217,84666398 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-26 1,1913 1,1897 183,6741 183,6741 218,81095533 218,51707677 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-27 1,1978 1,1962 184,7746 184,7746 221,32301588 221,02737652 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-28 1,1928 1,1912 185,5931 185,5931 221,37544968 221,07850072 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-07-29 1,1883 1,1867 185,8518 185,8518 220,84769394 220,55033106 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-01 1,1963 1,1947 185,8658 185,8658 222,35125654 222,05387126 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-02 1,1983 1,1967 187,5444 187,5444 224,73445452 224,43438348 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-03 1,1933 1,1917 188,1025 188,1025 224,46271325 224,16174925 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-04 1,1933 1,1917 188,2057 188,2057 224,58586181 224,28473269 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-05 1,1873 1,1857 188,8215 188,8215 224,18776695 223,88565255 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-08 1,1783 1,1767 190,3049 190,3049 224,23626367 223,93177583 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-09 1,1818 1,1802 191,0581 191,0581 225,79246258 225,48676962 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-10 1,1843 1,1827 192,1318 192,1318 227,54169074 227,23427986 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-11 1,1828 1,1812 191,9078 191,9078 226,98854584 226,68149336 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-12 1,1793 1,1777 191,8379 191,8379 226,23443547 225,92749483 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-15 1,1768 1,1752 193,0914 193,0914 227,22995952 226,92101328 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-16 1,1653 1,1637 191,8685 191,8685 223,58436305 223,27737345 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-17 1,1773 1,1757 189,4737 189,4737 223,06738701 222,76422909 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-18 1,1773 1,1757 189,6057 189,6057 223,22279061 222,91942149 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-19 1,1748 1,1732 192,1364 192,1364 225,72184272 225,41442448 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-22 1,1728 1,1712 193,2562 193,2562 226,65087136 226,34166144 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-23 1,1708 1,1692 192,6774 192,6774 225,58669992 225,27841608 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-24 1,1743 1,1727 189,8267 189,8267 222,91349381 222,60977109 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-25 1,1768 1,1752 188,6052 188,6052 221,95059936 221,64883104 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-26 1,1773 1,1757 188,2019 188,2019 221,57009687 221,26897383 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-29 1,1798 1,1782 188,4115 188,4115 222,2878877 221,9864293 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-30 1,1793 1,1777 190,7176 190,7176 224,91326568 224,60811752 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-08-31 1,1848 1,1832 190,1691 190,1691 225,31234968 225,00807912 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-01 1,1888 1,1872 191,7099 191,7099 227,90472912 227,59799328 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-02 1,1948 1,1932 190,6694 190,6694 227,81179912 227,50672808 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-05 1,1903 1,1887 191,2901 191,2901 227,69260603 227,38654187 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-06 1,1898 1,1882 192,0904 192,0904 228,54915792 228,24181328 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-07 1,1938 1,1922 191,7402 191,7402 228,89945076 228,59266644 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-08 1,1988 1,1972 191,244 191,244 229,2633072 228,9573168 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-09 1,2008 1,1992 192,0377 192,0377 230,59887016 230,29160984 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-12 1,1953 1,1937 193,609 193,609 231,4208377 231,1110633 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-13 1,1938 1,1922 193,6059 193,6059 231,12672342 230,81695398 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-14 1,1953 1,1937 193,9498 193,9498 231,82819594 231,51787626 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-15 1,2003 1,1987 194,3457 194,3457 233,27314371 232,96219059 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-16 1,2008 1,1992 195,3158 195,3158 234,53521264 234,22270736 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-19 1,1973 1,1957 196,5176 196,5176 235,29052248 234,97609432 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-20 1,2018 1,2002 196,1068 196,1068 235,68115224 235,36738136 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-21 1,1988 1,1972 196,131 196,131 235,1218428 234,8080332 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-22 1,2018 1,2002 195,6862 195,6862 235,17567516 234,86257724 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-23 1,2043 1,2027 194,8633 194,8633 234,67387219 234,36209091 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-26 1,1993 1,1977 196,1334 196,1334 235,22278662 234,90897318 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-27 1,2003 1,1987 196,4868 196,4868 235,84310604 235,52872716 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-28 1,2013 1,1997 197,4847 197,4847 237,23837011 236,92239459 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-29 1,2023 1,2007 198,3089 198,3089 238,42679047 238,10949623 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-09-30 1,1918 1,1902 200,7275 200,7275 239,2270345 238,9058705 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-03 1,1798 1,1782 201,7884 201,7884 238,06995432 237,74709288 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-04 1,1838 1,1822 202,1796 202,1796 239,34021048 239,01672312 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-05 1,1788 1,1772 199,6926 199,6926 235,39763688 235,07812872 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-06 1,1798 1,1782 195,2178 195,2178 230,31796044 230,00561196 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-07 1,1828 1,1812 194,7329 194,7329 230,33007412 230,01850148 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-10 1,1808 1,1792 195,2644 195,2644 230,56820352 230,25578048 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-11 1,1898 1,1882 195,3692 195,3692 232,45027416 232,13768344 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-12 1,1918 1,1902 193,3962 193,3962 230,48959116 230,18015724 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-13 1,2023 1,2007 188,6083 188,6083 226,76375909 226,46198581 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-14 1,2028 1,2012 187,0213 187,0213 224,94921964 224,64998556 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-17 1,2118 1,2102 187,988 187,988 227,8038584 227,5030776 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-18 1,2118 1,2102 185,8907 185,8907 225,26235026 224,96492514 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-19 1,2103 1,2087 180,9332 180,9332 218,98345196 218,69395884 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-20 1,2173 1,2157 182,4043 182,4043 222,04075439 221,74890751 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-21 1,2183 1,2167 181,3787 181,3787 220,97367021 220,68346429 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-24 1,2243 1,2227 184,7629 184,7629 226,20521847 225,90959783 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-25 1,2203 1,2187 186,7042 186,7042 227,83513526 227,53640854 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-26 1,2148 1,2132 187,7594 187,7594 228,09011912 227,78970408 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-27 1,2228 1,2212 185,2019 185,2019 226,46488332 226,16856028 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-28 1,2188 1,2172 184,0873 184,0873 224,36560124 224,07106156 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-10-31 1,2233 1,2217 188,3382 188,3382 230,39412006 230,09277894 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-01 1,2273 1,2257 188,173 188,173 230,9447229 230,6436461 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-02 1,2338 1,2322 188,5746 188,5746 232,66334148 232,36162212 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-03 1,2398 1,2382 192,4428 192,4428 238,59058344 238,28267496 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-04 1,2308 1,2292 192,6423 192,6423 237,10414284 236,79591516 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-07 1,2348 1,2332 192,6683 192,6683 237,90681684 237,59854756 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-08 1,2298 1,2282 192,5387 192,5387 236,78409326 236,47603134 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-09 1,2278 1,2262 192,2396 192,2396 236,03178088 235,72419752 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-10 1,2428 1,2412 191,4349 191,4349 237,91529372 237,60899788 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-11 1,2453 1,2437 192,8199 192,8199 240,11862147 239,81010963 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-14 1,2323 1,2307 194,4316 194,4316 239,59806068 239,28697012 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-15 1,2293 1,2277 192,5625 192,5625 236,71708125 236,40898125 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-16 1,2298 1,2282 192,2251 192,2251 236,39842798 236,09086782 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-17 1,2318 1,2302 194,4158 194,4158 239,48138244 239,17031716 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-18 1,2233 1,2217 195,7803 195,7803 239,49804099 239,18479251 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-21 1,2168 1,2152 197,5065 197,5065 240,3259092 240,0098988 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-22 1,2143 1,2127 196,9788 196,9788 239,19135684 238,87619076 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-23 1,2093 1,2077 198,1058 198,1058 239,56934394 239,25237466 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-24 1,2083 1,2067 197,5918 197,5918 238,75017194 238,43402506 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-25 1,2028 1,2012 199,0258 199,0258 239,38823224 239,06979096 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-28 1,2068 1,2052 199,6579 199,6579 240,94715372 240,62770108 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-29 1,1968 1,1952 199,8842 199,8842 239,22141056 238,90159584 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-11-30 1,1983 1,1967 200,0248 200,0248 239,68971784 239,36967816 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-01 1,1963 1,1947 202,138 202,138 241,8176894 241,4942686 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-02 1,1993 1,1977 204,3573 204,3573 245,08570989 244,75873821 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-05 1,1908 1,1892 204,4162 204,4162 243,41881096 243,09174504 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-06 1,1948 1,1932 206,9952 206,9952 247,31786496 246,98667264 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-07 1,1833 1,1817 208,8287 208,8287 247,10700071 246,77287479 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-08 1,1848 1,1832 208,3558 208,3558 246,85995184 246,52658256 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-12 1,1888 1,1872 208,9448 208,9448 248,39357824 248,05926656 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-13 1,1853 1,1837 209,3422 209,3422 248,13330966 247,79836214 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-14 1,1888 1,1872 208,8316 208,8316 248,25900608 247,92487552 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-15 1,1868 1,1852 208,8914 208,8914 247,91231352 247,57808728 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-16 1,1943 1,1927 208,7914 208,7914 249,35956902 249,02550278 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-19 1,1818 1,1802 209,5646 209,5646 247,66344428 247,32814092 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-20 1,1728 1,1712 210,812 210,812 247,2403136 246,9030144 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-21 1,1728 1,1712 211,758 211,758 248,3497824 248,0109696 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-22 1,1778 1,1762 212,4837 212,4837 250,26330186 249,92332794 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-23 1,1738 1,1722 213,9195 213,9195 251,0987091 250,7564379 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-27 1,1833 1,1817 214,1338 214,1338 253,38452554 253,04191146 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-28 1,1763 1,1747 214,6774 214,6774 252,52502562 252,18154178 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-29 1,1718 1,1702 215,1902 215,1902 252,15987636 251,81557204 219006 ABN AMRO Kapitalforvaltning AS ABN AMRO Norden NOK 2005-12-30 1,1768 1,1752 214,0979 214,0979 251,95040872 251,60785208 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-03 1,0958 1,0942 208,6858 208,6858 228,67789964 228,34400236 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-04 1,0963 1,0947 207,9096 207,9096 227,93129448 227,59863912 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-05 1,0923 1,0907 205,2062 205,2062 224,14673226 223,81840234 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-07 1,0978 1,0962 207,9066 207,9066 228,23986548 227,90721492 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-10 1,1082 1,1066 209,3702 209,3702 232,02405564 231,68906332 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-11 1,1082 1,1066 208,4894 208,4894 231,04795308 230,71437004 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-12 1,1038 1,1022 207,9139 207,9139 229,49536282 229,16270058 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-13 1,1023 1,1007 209,7401 209,7401 231,19651223 230,86092807 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-14 1,1073 1,1057 211,6592 211,6592 234,37023216 234,03157744 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-17 1,1058 1,1042 214,8922 214,8922 237,62779476 237,28396724 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-18 1,1083 1,1067 214,768 214,768 238,0273744 237,6837456 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-19 1,1083 1,1067 215,2767 215,2767 238,59116661 238,24672389 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-20 1,1073 1,1057 212,7691 212,7691 235,59922443 235,25879387 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-21 1,1038 1,1022 214,5201 214,5201 236,78728638 236,44405422 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-24 1,1053 1,1037 213,3109 213,3109 235,77253777 235,43124033 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-25 1,1063 1,1047 215,8899 215,8899 238,83899637 238,49357253 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-26 1,1038 1,1022 216,3968 216,3968 238,85878784 238,51255296 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-27 1,0988 1,0972 216,5739 216,5739 237,97140132 237,62488308 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-28 1,1033 1,1017 217,1394 217,1394 239,56990002 239,22247698 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-01-31 1,1028 1,1012 216,3429 216,3429 238,58295012 238,23680148 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-01 1,0983 1,0967 218,3463 218,3463 239,80974129 239,46038721 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-02 1,0988 1,0972 220,1846 220,1846 241,93883848 241,58654312 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-03 1,0983 1,0967 220,8858 220,8858 242,59887414 242,24545686 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-04 1,0968 1,0952 224,0326 224,0326 245,71895568 245,36050352 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-07 1,0938 1,0922 226,8291 226,8291 248,10566958 247,74274302 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-08 1,0898 1,0882 223,9427 223,9427 244,05275446 243,69444614 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-09 1,0843 1,0827 224,0369 224,0369 242,92321067 242,56475163 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-10 1,0848 1,0832 224,5205 224,5205 243,5598384 243,2006056 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-11 1,0788 1,0772 226,0521 226,0521 243,86500548 243,50332212 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-14 1,0828 1,0812 227,3812 227,3812 246,20836336 245,84455344 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-15 1,0833 1,0817 228,1472 228,1472 247,15186176 246,78682624 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-16 1,0848 1,0832 225,786 225,786 244,9326528 244,5713952 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-17 1,0863 1,0847 227,333 227,333 246,9518379 246,5881051 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-18 1,0943 1,0927 224,9542 224,9542 246,16738106 245,80745434 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-21 1,0998 1,0982 225,9032 225,9032 248,44833936 248,08689424 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-22 1,1028 1,1012 224,6169 224,6169 247,70751732 247,34813028 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-23 1,1023 1,1007 224,996 224,996 248,0130908 247,6530972 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-24 1,1013 1,0997 228,0427 228,0427 251,14342551 250,77855719 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-25 1,1018 1,1002 230,5989 230,5989 254,07386802 253,70490978 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-02-28 1,0968 1,0952 231,0429 231,0429 253,40785272 253,03818408 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-01 1,1013 1,0997 231,3248 231,3248 254,75800224 254,38788256 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-02 1,1068 1,1052 230,3674 230,3674 254,97063832 254,60205048 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-03 1,1058 1,1042 232,3831 232,3831 256,96923198 256,59741902 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-04 1,1013 1,0997 236,0297 236,0297 259,93950861 259,56186109 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-07 1,1003 1,0987 236,6053 236,6053 260,33681159 259,95824311 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-08 1,1033 1,1017 236,1377 236,1377 260,53072441 260,15290409 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-09 1,1053 1,1037 235,6606 235,6606 260,47566118 260,09860422 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-10 1,1053 1,1037 232,9324 232,9324 257,46018172 257,08748988 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-11 1,1113 1,1097 233,7681 233,7681 259,78648953 259,41246057 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-14 1,1113 1,1097 233,4173 233,4173 259,39664549 259,02317781 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-15 1,1138 1,1122 234,6225 234,6225 261,3225405 260,9471445 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-16 1,1128 1,1112 231,3411 231,3411 257,43637608 257,06623032 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-17 1,1193 1,1177 234,6686 234,6686 262,66456398 262,28909422 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-18 1,1193 1,1177 235,0426 235,0426 263,08318218 262,70711402 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-21 1,1218 1,1202 234,557 234,557 263,1260426 262,7507514 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-22 1,1183 1,1167 233,4289 233,4289 261,04353887 260,67005263 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-23 1,1158 1,1142 230,3415 230,3415 257,0150457 256,6464993 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-29 1,1103 1,1087 229,5649 229,5649 254,88590847 254,51860463 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-30 1,1168 1,1152 227,4851 227,4851 254,05535968 253,69138352 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-03-31 1,1163 1,1147 230,4519 230,4519 257,25345597 256,88473293 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-01 1,1173 1,1157 232,8687 232,8687 260,18419851 259,81160859 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-04 1,1198 1,1182 234,1692 234,1692 262,22267016 261,84799944 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-05 1,1223 1,1207 234,9467 234,9467 263,68068141 263,30476669 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-06 1,1243 1,1227 235,6685 235,6685 264,96209455 264,58502495 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-07 1,1208 1,1192 237,8645 237,8645 266,5985316 266,2179484 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-08 1,1208 1,1192 238,7371 238,7371 267,57654168 267,19456232 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-11 1,1203 1,1187 237,4739 237,4739 266,04201017 265,66205193 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-12 1,1173 1,1157 238,0634 238,0634 265,98823682 265,60733538 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-13 1,1183 1,1167 238,2151 238,2151 266,39594633 266,01480217 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-14 1,1153 1,1137 236,6261 236,6261 263,90908933 263,53048757 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-15 1,1178 1,1162 231,456 231,456 258,7215168 258,3511872 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-18 1,1148 1,1132 223,4811 223,4811 249,13673028 248,77916052 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-19 1,1213 1,1197 225,038 225,038 252,3351094 251,9750486 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-20 1,1218 1,1202 225,5745 225,5745 253,0494741 252,6885549 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-21 1,1253 1,1237 225,4006 225,4006 253,64329518 253,28265422 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-22 1,1248 1,1232 227,1979 227,1979 255,55219792 255,18868128 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-25 1,1258 1,1242 228,0679 228,0679 256,75884182 256,39393318 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-26 1,1243 1,1227 225,0038 225,0038 252,97177234 252,61176626 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-27 1,1253 1,1237 218,0206 218,0206 245,33858118 244,98974822 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-28 1,1248 1,1232 215,0818 215,0818 241,92400864 241,57987776 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-04-29 1,1268 1,1252 215,5704 215,5704 242,90472672 242,55981408 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-02 1,1313 1,1297 217,5562 217,5562 246,12132906 245,77323914 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-03 1,1343 1,1327 219,0136 219,0136 248,42712648 248,07670472 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-04 1,1323 1,1307 217,8328 217,8328 246,65207944 246,30354696 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-06 1,1313 1,1297 223,259 223,259 252,5729067 252,2156923 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-09 1,1288 1,1272 225,1773 225,1773 254,18013624 253,81985256 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-10 1,1328 1,1312 224,1983 224,1983 253,97183424 253,61311696 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-11 1,1398 1,1382 224,4962 224,4962 255,88076876 255,52157484 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-12 1,1418 1,1402 223,9315 223,9315 255,6849867 255,3266963 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-13 1,1373 1,1357 221,0928 221,0928 251,44884144 251,09509296 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-18 1,1373 1,1357 223,0501 223,0501 253,67487873 253,31799857 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-19 1,1328 1,1312 225,1175 225,1175 255,013104 254,652916 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-20 1,1338 1,1322 226,613 226,613 256,9338194 256,5712386 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-23 1,1303 1,1287 226,5604 226,5604 256,08122012 255,71872348 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-24 1,1323 1,1307 227,9137 227,9137 258,06668251 257,70202059 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-25 1,1353 1,1337 227,8492 227,8492 258,67719676 258,31263804 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-26 1,1478 1,1462 231,174 231,174 265,3415172 264,9716388 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-27 1,1528 1,1512 232,3057 232,3057 267,80201096 267,43032184 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-30 1,1538 1,1522 233,2292 233,2292 269,09985096 268,72668424 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-05-31 1,1488 1,1472 232,1775 232,1775 266,725512 266,354028 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-01 1,1533 1,1517 234,9912 234,9912 271,01535096 270,63936504 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-02 1,1563 1,1547 235,6113 235,6113 272,43734619 272,06036811 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-03 1,1533 1,1517 235,4952 235,4952 271,59661416 271,21982184 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-07 1,1613 1,1597 236,5503 236,5503 274,70586339 274,32738291 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-08 1,1593 1,1577 239,5242 239,5242 277,68040506 277,29716634 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-09 1,1618 1,1602 239,323 239,323 278,0454614 277,6625446 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-10 1,1648 1,1632 242,0186 242,0186 281,90326528 281,51603552 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-13 1,1778 1,1762 241,5704 241,5704 284,52161712 284,13510448 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-14 1,1823 1,1807 243,5253 243,5253 287,91996219 287,53032171 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-15 1,1798 1,1782 243,5866 243,5866 287,38347068 286,99373212 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-16 1,1773 1,1757 245,7016 245,7016 289,26449368 288,87137112 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-17 1,1798 1,1782 246,9223 246,9223 291,31892954 290,92385386 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-20 1,1728 1,1712 247,5461 247,5461 290,32206608 289,92599232 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-21 1,1803 1,1787 248,9052 248,9052 293,78280756 293,38455924 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-22 1,1773 1,1757 248,7149 248,7149 292,81205177 292,41410793 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-23 1,1853 1,1837 251,3748 251,3748 297,95455044 297,55235076 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-27 1,1838 1,1822 250,2818 250,2818 296,28359484 295,88314396 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-28 1,1833 1,1817 254,1336 254,1336 300,71628888 300,30967512 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-29 1,1888 1,1872 254,8984 254,8984 303,02321792 302,61538048 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-06-30 1,1933 1,1917 255,1921 255,1921 304,52073293 304,11242557 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-01 1,1983 1,1967 256,924 256,924 307,8720292 307,4609508 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-04 1,2048 1,2032 259,506 259,506 312,6528288 312,2376192 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-05 1,1983 1,1967 260,2822 260,2822 311,89616026 311,47970874 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-06 1,1918 1,1902 264,8281 264,8281 315,62212958 315,19840462 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-07 1,1883 1,1867 259,2278 259,2278 308,04039474 307,62563026 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-08 1,1943 1,1927 265,755 265,755 317,3911965 316,9659885 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-11 1,1998 1,1982 266,6506 266,6506 319,92738988 319,50074892 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-12 1,1983 1,1967 264,5298 264,5298 316,98605934 316,56281166 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-13 1,1908 1,1892 265,5826 265,5826 316,25576008 315,83082792 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-14 1,1838 1,1822 265,9951 265,9951 314,88499938 314,45940722 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-15 1,1823 1,1807 263,7484 263,7484 311,82973332 311,40773588 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-18 1,1808 1,1792 264,0199 264,0199 311,75469792 311,33226608 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-19 1,1768 1,1752 264,1742 264,1742 310,88019856 310,45751984 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-20 1,1768 1,1752 262,8031 262,8031 309,26668808 308,84620312 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-21 1,1863 1,1847 263,3607 263,3607 312,42479841 312,00342129 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-22 1,1868 1,1852 266,0884 266,0884 315,79371312 315,36797168 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-25 1,1863 1,1847 268,8736 268,8736 318,96475168 318,53455392 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-26 1,1913 1,1897 268,417 268,417 319,7651721 319,3357049 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-27 1,1978 1,1962 268,2157 268,2157 321,26876546 320,83962034 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-28 1,1928 1,1912 269,0663 269,0663 320,94228264 320,51177656 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-07-29 1,1883 1,1867 271,6924 271,6924 322,85207892 322,41737108 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-01 1,1963 1,1947 272,5575 272,5575 326,06053725 325,62444525 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-02 1,1983 1,1967 276,0613 276,0613 330,80425579 330,36255771 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-03 1,1933 1,1917 277,3393 277,3393 330,94898669 330,50524381 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-04 1,1933 1,1917 275,7365 275,7365 329,03636545 328,59518705 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-05 1,1873 1,1857 275,1059 275,1059 326,63323507 326,19306563 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-08 1,1783 1,1767 278,2845 278,2845 327,90262635 327,45737115 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-09 1,1818 1,1802 280,6553 280,6553 331,67843354 331,22938506 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-10 1,1843 1,1827 281,3557 281,3557 333,20955551 332,75938639 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-11 1,1828 1,1812 283,0867 283,0867 334,83494876 334,38201004 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-12 1,1793 1,1777 284,6537 284,6537 335,69210841 335,23666249 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-15 1,1768 1,1752 286,5552 286,5552 337,21815936 336,75967104 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-16 1,1653 1,1637 282,8321 282,8321 329,58424613 329,13171477 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-17 1,1773 1,1757 280,0903 280,0903 329,75031019 329,30216571 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-18 1,1773 1,1757 279,9939 279,9939 329,63681847 329,18882823 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-19 1,1748 1,1732 284,5248 284,5248 334,25973504 333,80449536 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-22 1,1728 1,1712 287,8817 287,8817 337,62765776 337,16704704 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-23 1,1708 1,1692 288,7169 288,7169 338,02974652 337,56779948 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-24 1,1743 1,1727 285,352 285,352 335,0888536 334,6322904 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-25 1,1768 1,1752 285,3475 285,3475 335,796938 335,340382 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-26 1,1773 1,1757 287,4097 287,4097 338,36743981 337,90758429 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-29 1,1798 1,1782 288,8864 288,8864 340,82817472 340,36595648 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-30 1,1793 1,1777 291,6239 291,6239 343,91206527 343,44546703 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-08-31 1,1848 1,1832 292,4038 292,4038 346,44002224 345,97217616 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-01 1,1888 1,1872 295,6085 295,6085 351,4193848 350,9464112 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-02 1,1948 1,1932 294,1317 294,1317 351,42855516 350,95794444 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-05 1,1903 1,1887 292,8448 292,8448 348,57316544 348,10461376 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-06 1,1898 1,1882 295,3342 295,3342 351,38863116 350,91609644 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-07 1,1938 1,1922 293,7713 293,7713 350,70417794 350,23414386 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-08 1,1988 1,1972 291,3798 291,3798 349,30610424 348,83989656 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-09 1,2008 1,1992 291,9171 291,9171 350,53405368 350,06698632 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-12 1,1953 1,1937 294,6459 294,6459 352,19024427 351,71881083 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-13 1,1938 1,1922 291,7578 291,7578 348,30046164 347,83364916 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-14 1,1953 1,1937 292,9666 292,9666 350,18297698 349,71423042 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-15 1,2003 1,1987 295,9226 295,9226 355,19589678 354,72242062 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-16 1,2008 1,1992 296,8014 296,8014 356,39912112 355,92423888 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-19 1,1973 1,1957 300,7902 300,7902 360,13610646 359,65484214 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-20 1,2018 1,2002 303,4797 303,4797 364,72190346 364,23633594 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-21 1,1988 1,1972 304,1075 304,1075 364,564071 364,077499 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-22 1,2018 1,2002 304,1388 304,1388 365,51400984 365,02738776 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-23 1,2043 1,2027 301,2136 301,2136 362,75153848 362,26959672 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-26 1,1993 1,1977 300,397 300,397 360,2661221 359,7854869 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-27 1,2003 1,1987 300,2652 300,2652 360,40831956 359,92789524 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-28 1,2013 1,1997 301,7523 301,7523 362,49503799 362,01223431 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-29 1,2023 1,2007 303,9881 303,9881 365,48489263 364,99851167 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-09-30 1,1918 1,1902 304,4738 304,4738 362,87187484 362,38471676 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-03 1,1798 1,1782 306,2163 306,2163 361,27399074 360,78404466 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-04 1,1838 1,1822 305,2516 305,2516 361,35684408 360,86844152 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-05 1,1788 1,1772 300,4669 300,4669 354,19038172 353,70963468 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-06 1,1798 1,1782 286,8759 286,8759 338,45618682 337,99718538 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-07 1,1828 1,1812 286,0204 286,0204 338,30492912 337,84729648 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-10 1,1808 1,1792 285,9388 285,9388 337,63653504 337,17903296 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-11 1,1898 1,1882 286,2576 286,2576 340,58929248 340,13128032 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-12 1,1918 1,1902 285,4824 285,4824 340,23792432 339,78115248 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-13 1,2023 1,2007 273,6321 273,6321 328,98787383 328,55006247 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-14 1,2028 1,2012 269,217 269,217 323,8142076 323,3834604 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-17 1,2118 1,2102 272,7179 272,7179 330,47955122 330,04320258 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-18 1,2118 1,2102 264,5896 264,5896 320,62967728 320,20633392 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-19 1,2103 1,2087 255,4401 255,4401 309,15915303 308,75044887 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-20 1,2173 1,2157 263,3751 263,3751 320,60650923 320,18510907 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-21 1,2183 1,2167 261,0742 261,0742 318,06669786 317,64897914 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-24 1,2243 1,2227 269,0986 269,0986 329,45741598 329,02685822 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-25 1,2203 1,2187 271,1477 271,1477 330,88153831 330,44770199 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-26 1,2148 1,2132 275,0131 275,0131 334,08591388 333,64589292 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-27 1,2228 1,2212 270,8214 270,8214 331,16040792 330,72709368 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-28 1,2188 1,2172 267,8803 267,8803 326,49250964 326,06390116 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-10-31 1,2233 1,2217 276,7541 276,7541 338,55329053 338,11048397 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-01 1,2273 1,2257 273,5654 273,5654 335,74681542 335,30911078 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-02 1,2338 1,2322 274,6015 274,6015 338,8033307 338,3639683 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-03 1,2398 1,2382 283,4953 283,4953 351,47747294 351,02388046 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-04 1,2308 1,2292 283,6379 283,6379 349,10152732 348,64770668 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-07 1,2348 1,2332 284,0314 284,0314 350,72197272 350,26752248 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-08 1,2298 1,2282 281,1091 281,1091 345,70797118 345,25819662 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-09 1,2278 1,2262 283,5536 283,5536 348,14711008 347,69342432 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-10 1,2428 1,2412 282,6648 282,6648 351,29581344 350,84354976 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-11 1,2453 1,2437 280,5733 280,5733 349,39793049 348,94901321 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-14 1,2323 1,2307 282,7946 282,7946 348,48778558 348,03531422 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-15 1,2293 1,2277 280,8363 280,8363 345,23206359 344,78272551 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-16 1,2298 1,2282 277,2672 277,2672 340,98320256 340,53957504 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-17 1,2318 1,2302 282,3075 282,3075 347,7463785 347,2946865 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-18 1,2233 1,2217 283,3091 283,3091 346,57202203 346,11872747 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-21 1,2168 1,2152 284,5918 284,5918 346,29130224 345,83595536 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-22 1,2143 1,2127 288,3858 288,3858 350,18687694 349,72545966 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-23 1,2093 1,2077 288,7696 288,7696 349,20907728 348,74704592 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-24 1,2083 1,2067 287,7278 287,7278 347,66150074 347,20113626 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-25 1,2028 1,2012 290,721 290,721 349,6792188 349,2140652 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-28 1,2068 1,2052 291,0128 291,0128 351,19424704 350,72862656 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-29 1,1968 1,1952 291,9829 291,9829 349,44513472 348,97796208 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-11-30 1,1983 1,1967 293,3525 293,3525 351,52430075 351,05493675 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-01 1,1963 1,1947 297,3175 297,3175 355,68092525 355,20521725 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-02 1,1993 1,1977 301,0346 301,0346 361,03079578 360,54914042 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-05 1,1908 1,1892 301,6367 301,6367 359,18898236 358,70636364 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-06 1,1948 1,1932 303,4485 303,4485 362,5602678 362,0747502 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-07 1,1833 1,1817 307,0454 307,0454 363,32682182 362,83554918 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-08 1,1848 1,1832 306,46 306,46 363,093808 362,603472 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-12 1,1888 1,1872 308,3527 308,3527 366,56968976 366,07632544 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-13 1,1853 1,1837 310,8963 310,8963 368,50538439 368,00795031 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-14 1,1888 1,1872 310,1152 310,1152 368,66494976 368,16876544 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-15 1,1868 1,1852 308,1459 308,1459 365,70755412 365,21452068 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-16 1,1943 1,1927 306,139 306,139 365,6218077 365,1319853 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-19 1,1818 1,1802 302,5489 302,5489 357,55229002 357,06821178 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-20 1,1728 1,1712 306,6009 306,6009 359,58153552 359,09097408 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-21 1,1728 1,1712 309,5024 309,5024 362,98441472 362,48921088 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-22 1,1778 1,1762 312,2213 312,2213 367,73424714 367,23469306 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-23 1,1738 1,1722 313,5274 313,5274 368,01846212 367,51681828 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-27 1,1833 1,1817 313,5471 313,5471 371,02028343 370,51860807 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-28 1,1763 1,1747 315,4965 315,4965 371,11853295 370,61373855 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-29 1,1718 1,1702 315,7788 315,7788 370,02959784 369,52435176 183178 ABN AMRO Kapitalforvaltning AS ABN AMRO Norge NOK 2005-12-30 1,1768 1,1752 315,9768 315,9768 371,84149824 371,33593536 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-03 1,0958 1,0942 115,4875 115,4875 126,5512025 126,3664225 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-04 1,0963 1,0947 115,5296 115,5296 126,65510048 126,47025312 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-05 1,0923 1,0907 115,4509 115,4509 126,10701807 125,92229663 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-07 1,0978 1,0962 115,5525 115,5525 126,8535345 126,6686505 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-10 1,1082 1,1066 115,6299 115,6299 128,14105518 127,95604734 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-11 1,1082 1,1066 115,6976 115,6976 128,21608032 128,03096416 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-12 1,1038 1,1022 115,6291 115,6291 127,63140058 127,44639402 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-13 1,1023 1,1007 115,6628 115,6628 127,49510444 127,31004396 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-14 1,1073 1,1057 115,6778 115,6778 128,09002794 127,90494346 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-17 1,1058 1,1042 115,7223 115,7223 127,96571934 127,78056366 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-18 1,1083 1,1067 115,72 115,72 128,252476 128,067324 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-19 1,1083 1,1067 115,7518 115,7518 128,28771994 128,10251706 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-20 1,1073 1,1057 115,7119 115,7119 128,12778687 127,94264783 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-21 1,1038 1,1022 115,771 115,771 127,7880298 127,6027962 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-24 1,1053 1,1037 115,8774 115,8774 128,07929022 127,89388638 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-25 1,1063 1,1047 115,9129 115,9129 128,23444127 128,04898063 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-26 1,1038 1,1022 115,8744 115,8744 127,90216272 127,71676368 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-27 1,0988 1,0972 115,8384 115,8384 127,28323392 127,09789248 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-28 1,1033 1,1017 115,9917 115,9917 127,97364261 127,78805589 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-01-31 1,1028 1,1012 116,1044 116,1044 128,03993232 127,85416528 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-01 1,0983 1,0967 116,124 116,124 127,5389892 127,3531908 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-02 1,0988 1,0972 116,0848 116,0848 127,55397824 127,36824256 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-03 1,0983 1,0967 116,0567 116,0567 127,46507361 127,27938289 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-04 1,0968 1,0952 116,075 116,075 127,31106 127,12534 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-07 1,0938 1,0922 116,1121 116,1121 127,00341498 126,81763562 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-08 1,0898 1,0882 116,1129 116,1129 126,53983842 126,35405778 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-09 1,0843 1,0827 116,1501 116,1501 125,94155343 125,75571327 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-10 1,0848 1,0832 116,5032 116,5032 126,38267136 126,19626624 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-11 1,0788 1,0772 116,5324 116,5324 125,71515312 125,52870128 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-14 1,0828 1,0812 116,521 116,521 126,1689388 125,9825052 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-15 1,0833 1,0817 116,5034 116,5034 126,20813322 126,02172778 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-16 1,0848 1,0832 116,4692 116,4692 126,34578816 126,15943744 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-17 1,0863 1,0847 116,3651 116,3651 126,40740813 126,22122397 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-18 1,0943 1,0927 115,7379 115,7379 126,65198397 126,46680333 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-21 1,0998 1,0982 115,6251 115,6251 127,16448498 126,97948482 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-22 1,1028 1,1012 115,7035 115,7035 127,5978198 127,4126942 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-23 1,1023 1,1007 115,8044 115,8044 127,65119012 127,46590308 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-24 1,1013 1,0997 115,8519 115,8519 127,58769747 127,40233443 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-25 1,1018 1,1002 115,8124 115,8124 127,60210232 127,41680248 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-02-28 1,0968 1,0952 115,886 115,886 127,1037648 126,9183472 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-01 1,1013 1,0997 115,8646 115,8646 127,60168398 127,41630062 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-02 1,1068 1,1052 115,7165 115,7165 128,0750222 127,8898758 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-03 1,1058 1,1042 115,7823 115,7823 128,03206734 127,84681566 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-04 1,1013 1,0997 115,8661 115,8661 127,60333593 127,41795017 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-07 1,1003 1,0987 115,9803 115,9803 127,61312409 127,42755561 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-08 1,1033 1,1017 115,8781 115,8781 127,84830773 127,66290277 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-09 1,1053 1,1037 115,7983 115,7983 127,99186099 127,80658371 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-10 1,1053 1,1037 115,7132 115,7132 127,89779996 127,71265884 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-11 1,1113 1,1097 115,5734 115,5734 128,43671942 128,25180198 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-14 1,1113 1,1097 115,5049 115,5049 128,36059537 128,17578753 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-15 1,1138 1,1122 115,6222 115,6222 128,78000636 128,59501084 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-16 1,1128 1,1112 115,77 115,77 128,828856 128,643624 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-17 1,1193 1,1177 115,961 115,961 129,7951473 129,6096097 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-18 1,1193 1,1177 115,8197 115,8197 129,63699021 129,45167869 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-21 1,1218 1,1202 115,7013 115,7013 129,79371834 129,60859626 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-22 1,1183 1,1167 115,76 115,76 129,454408 129,269192 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-23 1,1158 1,1142 115,6789 115,6789 129,07451662 128,88943038 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-29 1,1103 1,1087 115,7708 115,7708 128,54031924 128,35508596 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-30 1,1168 1,1152 115,8271 115,8271 129,35570528 129,17038192 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-03-31 1,1163 1,1147 115,9863 115,9863 129,47550669 129,28992861 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-01 1,1173 1,1157 116,0769 116,0769 129,69272037 129,50699733 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-04 1,1198 1,1182 116,1777 116,1777 130,09578846 129,90990414 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-05 1,1223 1,1207 116,1167 116,1167 130,31777241 130,13198569 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-06 1,1243 1,1227 116,131 116,131 130,5660833 130,3802737 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-07 1,1208 1,1192 116,2514 116,2514 130,29456912 130,10856688 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-08 1,1208 1,1192 116,1278 116,1278 130,15603824 129,97023376 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-11 1,1203 1,1187 116,1794 116,1794 130,15578182 129,96989478 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-12 1,1173 1,1157 116,1161 116,1161 129,73651853 129,55073277 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-13 1,1183 1,1167 116,2722 116,2722 130,02720126 129,84116574 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-14 1,1153 1,1137 116,2925 116,2925 129,70102525 129,51495725 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-15 1,1178 1,1162 116,3728 116,3728 130,08151584 129,89531936 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-18 1,1148 1,1132 116,5469 116,5469 129,92648412 129,74000908 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-19 1,1213 1,1197 116,5171 116,5171 130,65062423 130,46419687 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-20 1,1218 1,1202 116,3503 116,3503 130,52176654 130,33560606 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-21 1,1253 1,1237 116,2918 116,2918 130,86316254 130,67709566 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-22 1,1248 1,1232 116,3155 116,3155 130,8316744 130,6455696 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-25 1,1258 1,1242 116,3776 116,3776 131,01790208 130,83169792 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-26 1,1243 1,1227 116,4568 116,4568 130,93238024 130,74604936 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-27 1,1253 1,1237 116,4616 116,4616 131,05423848 130,86789992 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-28 1,1248 1,1232 116,5476 116,5476 131,09274048 130,90626432 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-04-29 1,1268 1,1252 116,5437 116,5437 131,32144116 131,13497124 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-02 1,1313 1,1297 116,6013 116,6013 131,91105069 131,72448861 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-03 1,1343 1,1327 116,6568 116,6568 132,32380824 132,13715736 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-04 1,1323 1,1307 116,6632 116,6632 132,09774136 131,91108024 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-06 1,1313 1,1297 116,6352 116,6352 131,94940176 131,76278544 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-09 1,1288 1,1272 116,6223 116,6223 131,64325224 131,45665656 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-10 1,1328 1,1312 116,7272 116,7272 132,22857216 132,04180864 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-11 1,1398 1,1382 116,7499 116,7499 133,07153602 132,88473618 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-12 1,1418 1,1402 116,7156 116,7156 133,26587208 133,07912712 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-13 1,1373 1,1357 116,7571 116,7571 132,78784983 132,60103847 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-18 1,1373 1,1357 116,9085 116,9085 132,96003705 132,77298345 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-19 1,1328 1,1312 116,9606 116,9606 132,49296768 132,30583072 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-20 1,1338 1,1322 116,8771 116,8771 132,51525598 132,32825262 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-23 1,1303 1,1287 116,8468 116,8468 132,07193804 131,88498316 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-24 1,1323 1,1307 116,7912 116,7912 132,24267576 132,05580984 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-25 1,1353 1,1337 116,8678 116,8678 132,68001334 132,49302486 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-26 1,1478 1,1462 116,8987 116,8987 134,17632786 133,98928994 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-27 1,1528 1,1512 116,9739 116,9739 134,84751192 134,66035368 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-30 1,1538 1,1522 116,946 116,946 134,9322948 134,7451812 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-05-31 1,1488 1,1472 117,0256 117,0256 134,43900928 134,25176832 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-01 1,1533 1,1517 117,1441 117,1441 135,10229053 134,91485997 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-02 1,1563 1,1547 117,1756 117,1756 135,49014628 135,30266532 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-03 1,1533 1,1517 117,2899 117,2899 135,27044167 135,08277783 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-07 1,1613 1,1597 117,2922 117,2922 136,21143186 136,02376434 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-08 1,1593 1,1577 117,3455 117,3455 136,03863815 135,85088535 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-09 1,1618 1,1602 117,3069 117,3069 136,28715642 136,09946538 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-10 1,1648 1,1632 117,235 117,235 136,555328 136,367752 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-13 1,1778 1,1762 117,2369 117,2369 138,08162082 137,89404178 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-14 1,1823 1,1807 117,2265 117,2265 138,59689095 138,40932855 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-15 1,1798 1,1782 117,0977 117,0977 138,15186646 137,96451014 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-16 1,1773 1,1757 117,1368 117,1368 137,90515464 137,71773576 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-17 1,1798 1,1782 117,2224 117,2224 138,29898752 138,11143168 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-20 1,1728 1,1712 117,305 117,305 137,575304 137,387616 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-21 1,1803 1,1787 117,5957 117,5957 138,79820471 138,61005159 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-22 1,1773 1,1757 117,7437 117,7437 138,61965801 138,43126809 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-23 1,1853 1,1837 117,6168 117,6168 139,41119304 139,22300616 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-27 1,1838 1,1822 117,716 117,716 139,3522008 139,1638552 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-28 1,1833 1,1817 117,6848 117,6848 139,25642384 139,06812816 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-29 1,1888 1,1872 117,715 117,715 139,939592 139,751248 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-06-30 1,1933 1,1917 117,846 117,846 140,6256318 140,4370782 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-01 1,1983 1,1967 117,8994 117,8994 141,27885102 141,09021198 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-04 1,2048 1,2032 117,8452 117,8452 141,97989696 141,79134464 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-05 1,1983 1,1967 117,7281 117,7281 141,07358223 140,88521727 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-06 1,1918 1,1902 117,7298 117,7298 140,31037564 140,12200796 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-07 1,1883 1,1867 117,8176 117,8176 140,00265408 139,81414592 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-08 1,1943 1,1927 117,8545 117,8545 140,75362935 140,56506215 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-11 1,1998 1,1982 117,8039 117,8039 141,34111922 141,15263298 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-12 1,1983 1,1967 117,8106 117,8106 141,17244198 140,98394502 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-13 1,1908 1,1892 117,7608 117,7608 140,22956064 140,04114336 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-14 1,1838 1,1822 117,7292 117,7292 139,36782696 139,17946024 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-15 1,1823 1,1807 117,6668 117,6668 139,11745764 138,92919076 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-18 1,1808 1,1792 117,7206 117,7206 139,00448448 138,81613152 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-19 1,1768 1,1752 117,6011 117,6011 138,39297448 138,20481272 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-20 1,1768 1,1752 117,5902 117,5902 138,38014736 138,19200304 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-21 1,1863 1,1847 117,5956 117,5956 139,50366028 139,31550732 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-22 1,1868 1,1852 117,5934 117,5934 139,55984712 139,37169768 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-25 1,1863 1,1847 117,6811 117,6811 139,60508893 139,41679917 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-26 1,1913 1,1897 117,668 117,668 140,1778884 139,9896196 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-27 1,1978 1,1962 117,6883 117,6883 140,96704574 140,77874446 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-28 1,1928 1,1912 117,6575 117,6575 140,341866 140,153614 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-07-29 1,1883 1,1867 117,6861 117,6861 139,84639263 139,65809487 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-01 1,1963 1,1947 117,615 117,615 140,7028245 140,5146405 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-02 1,1983 1,1967 117,5326 117,5326 140,83931458 140,65126242 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-03 1,1933 1,1917 117,4982 117,4982 140,21060206 140,02260494 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-04 1,1933 1,1917 117,5097 117,5097 140,22432501 140,03630949 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-05 1,1873 1,1857 117,4529 117,4529 139,45182817 139,26390353 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-08 1,1783 1,1767 117,4714 117,4714 138,41655062 138,22859638 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-09 1,1818 1,1802 117,4579 117,4579 138,81174622 138,62381358 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-10 1,1843 1,1827 117,5557 117,5557 139,22121551 139,03312639 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-11 1,1828 1,1812 117,6193 117,6193 139,12010804 138,93191716 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-12 1,1793 1,1777 117,7221 117,7221 138,82967253 138,64131717 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-15 1,1768 1,1752 117,7953 117,7953 138,62150904 138,43303656 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-16 1,1653 1,1637 117,7741 117,7741 137,24215873 137,05372017 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-17 1,1773 1,1757 117,8362 117,8362 138,72855826 138,54002034 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-18 1,1773 1,1757 117,839 117,839 138,7318547 138,5433123 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-19 1,1748 1,1732 117,8062 117,8062 138,39872376 138,21023384 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-22 1,1728 1,1712 117,8074 117,8074 138,16451872 137,97602688 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-23 1,1708 1,1692 117,8278 117,8278 137,95278824 137,76426376 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-24 1,1743 1,1727 117,8566 117,8566 138,39900538 138,21043482 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-25 1,1768 1,1752 117,9017 117,9017 138,74672056 138,55807784 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-26 1,1773 1,1757 117,9178 117,9178 138,82462594 138,63595746 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-29 1,1798 1,1782 117,912 117,912 139,1125776 138,9239184 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-30 1,1793 1,1777 117,8171 117,8171 138,94170603 138,75319867 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-08-31 1,1848 1,1832 117,832 117,832 139,6073536 139,4188224 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-01 1,1888 1,1872 117,9425 117,9425 140,210044 140,021336 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-02 1,1948 1,1932 118,1041 118,1041 141,11077868 140,92181212 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-05 1,1903 1,1887 118,1337 118,1337 140,61454311 140,42552919 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-06 1,1898 1,1882 118,0843 118,0843 140,49670014 140,30776526 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-07 1,1938 1,1922 118,0775 118,0775 140,9609195 140,7719955 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-08 1,1988 1,1972 118,1534 118,1534 141,64229592 141,45325048 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-09 1,2008 1,1992 118,169 118,169 141,8973352 141,7082648 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-12 1,1953 1,1937 118,1077 118,1077 141,17413381 140,98516149 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-13 1,1938 1,1922 118,0189 118,0189 140,89096282 140,70213258 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-14 1,1953 1,1937 118,036 118,036 141,0884308 140,8995732 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-15 1,2003 1,1987 118,0783 118,0783 141,72938349 141,54045821 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-16 1,2008 1,1992 118,0521 118,0521 141,75696168 141,56807832 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-19 1,1973 1,1957 118,1599 118,1599 141,47284827 141,28379243 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-20 1,2018 1,2002 118,2902 118,2902 142,16116236 141,97189804 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-21 1,1988 1,1972 118,2503 118,2503 141,75845964 141,56925916 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-22 1,2018 1,2002 118,2014 118,2014 142,05444252 141,86532028 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-23 1,2043 1,2027 118,1121 118,1121 142,24240203 142,05342267 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-26 1,1993 1,1977 118,0236 118,0236 141,54570348 141,35686572 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-27 1,2003 1,1987 118,0448 118,0448 141,68917344 141,50030176 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-28 1,2013 1,1997 118,0194 118,0194 141,77670522 141,58787418 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-29 1,2023 1,2007 117,9634 117,9634 141,82739582 141,63865438 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-09-30 1,1918 1,1902 117,9921 117,9921 140,62298478 140,43419742 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-03 1,1798 1,1782 117,9341 117,9341 139,13865118 138,94995662 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-04 1,1838 1,1822 117,9237 117,9237 139,59807606 139,40939814 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-05 1,1788 1,1772 117,957 117,957 139,0477116 138,8589804 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-06 1,1798 1,1782 117,9339 117,9339 139,13841522 138,94972098 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-07 1,1828 1,1812 117,8579 117,8579 139,40232412 139,21375148 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-10 1,1808 1,1792 117,749 117,749 139,0380192 138,8496208 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-11 1,1898 1,1882 117,7859 117,7859 140,14166382 139,95320638 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-12 1,1918 1,1902 117,7799 117,7799 140,37008482 140,18163698 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-13 1,2023 1,2007 117,6966 117,6966 141,50662218 141,31830762 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-14 1,2028 1,2012 117,6832 117,6832 141,54935296 141,36105984 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-17 1,2118 1,2102 117,6758 117,6758 142,59953444 142,41125316 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-18 1,2118 1,2102 117,6319 117,6319 142,54633642 142,35812538 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-19 1,2103 1,2087 117,7483 117,7483 142,51076749 142,32237021 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-20 1,2173 1,2157 117,6814 117,6814 143,25356822 143,06527798 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-21 1,2183 1,2167 117,7901 117,7901 143,50367883 143,31521467 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-24 1,2243 1,2227 117,8473 117,8473 144,28044939 144,09189371 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-25 1,2203 1,2187 117,7338 117,7338 143,67055614 143,48218206 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-26 1,2148 1,2132 117,5183 117,5183 142,76123084 142,57320156 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-27 1,2228 1,2212 117,4727 117,4727 143,64561756 143,45766124 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-28 1,2188 1,2172 117,3198 117,3198 142,98937224 142,80166056 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-10-31 1,2233 1,2217 117,2276 117,2276 143,40452308 143,21695892 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-01 1,2273 1,2257 117,3349 117,3349 144,00512277 143,81738693 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-02 1,2338 1,2322 117,2543 117,2543 144,66835534 144,48074846 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-03 1,2398 1,2382 117,1606 117,1606 145,25571188 145,06825492 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-04 1,2308 1,2292 117,0592 117,0592 144,07646336 143,88916864 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-07 1,2348 1,2332 116,9992 116,9992 144,47061216 144,28341344 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-08 1,2298 1,2282 116,9971 116,9971 143,88303358 143,69583822 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-09 1,2278 1,2262 116,9794 116,9794 143,62730732 143,44014028 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-10 1,2428 1,2412 117,034 117,034 145,4498552 145,2626008 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-11 1,2453 1,2437 117,0564 117,0564 145,77033492 145,58304468 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-14 1,2323 1,2307 117,0334 117,0334 144,22025882 144,03300538 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-15 1,2293 1,2277 116,8971 116,8971 143,70160503 143,51456967 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-16 1,2298 1,2282 117,1207 117,1207 144,03503686 143,84764374 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-17 1,2318 1,2302 117,1106 117,1106 144,25683708 144,06946012 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-18 1,2233 1,2217 116,8901 116,8901 142,99165933 142,80463517 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-21 1,2168 1,2152 116,9471 116,9471 142,30123128 142,11411592 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-22 1,2143 1,2127 117,0553 117,0553 142,14025079 141,95296231 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-23 1,2093 1,2077 117,127 117,127 141,6416811 141,4542779 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-24 1,2083 1,2067 117,336 117,336 141,7770888 141,5893512 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-25 1,2028 1,2012 117,3931 117,3931 141,20042068 141,01259172 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-28 1,2068 1,2052 117,3561 117,3561 141,62534148 141,43757172 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-29 1,1968 1,1952 117,3927 117,3927 140,49558336 140,30775504 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-11-30 1,1983 1,1967 117,3477 117,3477 140,61774891 140,42999259 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-01 1,1963 1,1947 117,3714 117,3714 140,41140582 140,22361158 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-02 1,1993 1,1977 117,2887 117,2887 140,66433791 140,47667599 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-05 1,1908 1,1892 117,2842 117,2842 139,66202536 139,47437064 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-06 1,1948 1,1932 117,3736 117,3736 140,23797728 140,05017952 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-07 1,1833 1,1817 117,4213 117,4213 138,94462429 138,75675021 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-08 1,1848 1,1832 117,4538 117,4538 139,15926224 138,97133616 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-12 1,1888 1,1872 117,4478 117,4478 139,62194464 139,43402816 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-13 1,1853 1,1837 117,5089 117,5089 139,28329917 139,09528493 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-14 1,1888 1,1872 117,6809 117,6809 139,89905392 139,71076448 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-15 1,1868 1,1852 117,8208 117,8208 139,82972544 139,64121216 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-16 1,1943 1,1927 117,9013 117,9013 140,80952259 140,62088051 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-19 1,1818 1,1802 117,8813 117,8813 139,31212034 139,12351026 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-20 1,1728 1,1712 117,9385 117,9385 138,3182728 138,1295712 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-21 1,1728 1,1712 117,8359 117,8359 138,19794352 138,00940608 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-22 1,1778 1,1762 117,8537 117,8537 138,80808786 138,61952194 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-23 1,1738 1,1722 117,9 117,9 138,39102 138,20238 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-27 1,1833 1,1817 118,0088 118,0088 139,63981304 139,45099896 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-28 1,1763 1,1747 118,113 118,113 138,9363219 138,7473411 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-29 1,1718 1,1702 113,1355 113,1355 132,5721789 132,3911621 111518 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon NOK 2005-12-30 1,1768 1,1752 113,1911 113,1911 133,20328648 133,02218072 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-03 1,0958 1,0942 105,36 105,36 115,453488 115,284912 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-04 1,0963 1,0947 106,06 106,06 116,273578 116,103882 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-05 1,0923 1,0907 106,44 106,44 116,264412 116,094108 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-07 1,0978 1,0962 106,41 106,41 116,816898 116,646642 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-10 1,1082 1,1066 106,77 106,77 118,322514 118,151682 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-11 1,1082 1,1066 106,14 106,14 117,624348 117,454524 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-12 1,1038 1,1022 105,91 105,91 116,903458 116,734002 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-13 1,1023 1,1007 106,05 106,05 116,898915 116,729235 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-14 1,1073 1,1057 106,49 106,49 117,916377 117,745993 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-17 1,1058 1,1042 106,39 106,39 117,646062 117,475838 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-18 1,1083 1,1067 106,17 106,17 117,668211 117,498339 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-19 1,1083 1,1067 106,25 106,25 117,756875 117,586875 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-20 1,1073 1,1057 106,66 106,66 118,104618 117,933962 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-21 1,1038 1,1022 106,82 106,82 117,907916 117,737004 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-24 1,1053 1,1037 106,76 106,76 118,001828 117,831012 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-25 1,1063 1,1047 107,01 107,01 118,385163 118,213947 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-26 1,1038 1,1022 107,27 107,27 118,404626 118,232994 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-27 1,0988 1,0972 107,4 107,4 118,01112 117,83928 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-28 1,1033 1,1017 107,44 107,44 118,538552 118,366648 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-01-31 1,1028 1,1012 107,68 107,68 118,749504 118,577216 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-01 1,0983 1,0967 107,85 107,85 118,451655 118,279095 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-02 1,0988 1,0972 107,54 107,54 118,164952 117,992888 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-03 1,0983 1,0967 107,69 107,69 118,275927 118,103623 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-04 1,0968 1,0952 108,45 108,45 118,94796 118,77444 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-07 1,0938 1,0922 109,24 109,24 119,486712 119,311928 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-08 1,0898 1,0882 109,89 109,89 119,758122 119,582298 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-09 1,0843 1,0827 109,86 109,86 119,121198 118,945422 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-10 1,0848 1,0832 110,47 110,47 119,837856 119,661104 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-11 1,0788 1,0772 110,41 110,41 119,110308 118,933652 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-14 1,0828 1,0812 109,82 109,82 118,913096 118,737384 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-15 1,0833 1,0817 109,45 109,45 118,567185 118,392065 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-16 1,0848 1,0832 108,99 108,99 118,232352 118,057968 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-17 1,0863 1,0847 108,88 108,88 118,276344 118,102136 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-18 1,0943 1,0927 107,6 107,6 117,74668 117,57452 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-21 1,0998 1,0982 107,4 107,4 118,11852 117,94668 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-22 1,1028 1,1012 106,9 106,9 117,88932 117,71828 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-23 1,1023 1,1007 106,76 106,76 117,681548 117,510732 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-24 1,1013 1,0997 106,51 106,51 117,299463 117,129047 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-25 1,1018 1,1002 106,88 106,88 117,760384 117,589376 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-02-28 1,0968 1,0952 106,27 106,27 116,556936 116,386904 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-01 1,1013 1,0997 106 106 116,7378 116,5682 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-02 1,1068 1,1052 106,36 106,36 117,719248 117,549072 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-03 1,1058 1,1042 106,53 106,53 117,800874 117,630426 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-04 1,1013 1,0997 106,59 106,59 117,387567 117,217023 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-07 1,1003 1,0987 106,26 106,26 116,917878 116,747862 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-08 1,1033 1,1017 105,91 105,91 116,850503 116,681047 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-09 1,1053 1,1037 105,61 105,61 116,730733 116,561757 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-10 1,1053 1,1037 105,14 105,14 116,211242 116,043018 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-11 1,1113 1,1097 104,99 104,99 116,675387 116,507403 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-14 1,1113 1,1097 105,07 105,07 116,764291 116,596179 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-15 1,1138 1,1122 105,47 105,47 117,472486 117,303734 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-16 1,1128 1,1112 105,21 105,21 117,077688 116,909352 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-17 1,1193 1,1177 105,04 105,04 117,571272 117,403208 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-18 1,1193 1,1177 104,91 104,91 117,425763 117,257907 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-21 1,1218 1,1202 105,28 105,28 118,103104 117,934656 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-22 1,1183 1,1167 105,85 105,85 118,372055 118,202695 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-23 1,1158 1,1142 106,02 106,02 118,297116 118,127484 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-29 1,1103 1,1087 106,73 106,73 118,502319 118,331551 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-30 1,1168 1,1152 106,56 106,56 119,006208 118,835712 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-03-31 1,1163 1,1147 106,98 106,98 119,421774 119,250606 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-01 1,1173 1,1157 107,16 107,16 119,729868 119,558412 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-04 1,1198 1,1182 107,23 107,23 120,076154 119,904586 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-05 1,1223 1,1207 107,15 107,15 120,254445 120,083005 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-06 1,1243 1,1227 107,14 107,14 120,457502 120,286078 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-07 1,1208 1,1192 107,06 107,06 119,992848 119,821552 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-08 1,1208 1,1192 107,25 107,25 120,2058 120,0342 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-11 1,1203 1,1187 107,18 107,18 120,073754 119,902266 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-12 1,1173 1,1157 107,25 107,25 119,830425 119,658825 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-13 1,1183 1,1167 107,82 107,82 120,575106 120,402594 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-14 1,1153 1,1137 108,41 108,41 120,909673 120,736217 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-15 1,1178 1,1162 108,3 108,3 121,05774 120,88446 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-18 1,1148 1,1132 107,78 107,78 120,153144 119,980696 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-19 1,1213 1,1197 107,76 107,76 120,831288 120,658872 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-20 1,1218 1,1202 107,36 107,36 120,436448 120,264672 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-21 1,1253 1,1237 106,84 106,84 120,227052 120,056108 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-22 1,1248 1,1232 107,15 107,15 120,52232 120,35088 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-25 1,1258 1,1242 107,27 107,27 120,764566 120,592934 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-26 1,1243 1,1227 107 107 120,3001 120,1289 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-27 1,1253 1,1237 106,98 106,98 120,384594 120,213426 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-28 1,1248 1,1232 107,58 107,58 121,005984 120,833856 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-04-29 1,1268 1,1252 107,38 107,38 120,995784 120,823976 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-02 1,1313 1,1297 107,65 107,65 121,784445 121,612205 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-03 1,1343 1,1327 107,34 107,34 121,755762 121,584018 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-04 1,1323 1,1307 106,97 106,97 121,122131 120,950979 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-06 1,1313 1,1297 107,39 107,39 121,490307 121,318483 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-09 1,1288 1,1272 107,35 107,35 121,17668 121,00492 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-10 1,1328 1,1312 107 107 121,2096 121,0384 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-11 1,1398 1,1382 107,17 107,17 122,152366 121,980894 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-12 1,1418 1,1402 107,53 107,53 122,777754 122,605706 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-13 1,1373 1,1357 107,91 107,91 122,726043 122,553387 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-18 1,1373 1,1357 108,07 108,07 122,908011 122,735099 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-19 1,1328 1,1312 108,23 108,23 122,602944 122,429776 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-20 1,1338 1,1322 108,35 108,35 122,84723 122,67387 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-23 1,1303 1,1287 108,31 108,31 122,422793 122,249497 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-24 1,1323 1,1307 108,07 108,07 122,367661 122,194749 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-25 1,1353 1,1337 107,65 107,65 122,215045 122,042805 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-26 1,1478 1,1462 107,11 107,11 122,940858 122,769482 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-27 1,1528 1,1512 106,88 106,88 123,211264 123,040256 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-30 1,1538 1,1522 107,06 107,06 123,525828 123,354532 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-05-31 1,1488 1,1472 107,31 107,31 123,277728 123,106032 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-01 1,1533 1,1517 107,63 107,63 124,129679 123,957471 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-02 1,1563 1,1547 107,61 107,61 124,429443 124,257267 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-03 1,1533 1,1517 107,58 107,58 124,072014 123,899886 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-07 1,1613 1,1597 107,21 107,21 124,502973 124,331437 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-08 1,1593 1,1577 107,67 107,67 124,821831 124,649559 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-09 1,1618 1,1602 107,77 107,77 125,207186 125,034754 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-10 1,1648 1,1632 107,32 107,32 125,006336 124,834624 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-13 1,1778 1,1762 107,71 107,71 126,860838 126,688502 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-14 1,1823 1,1807 108,04 108,04 127,735692 127,562828 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-15 1,1798 1,1782 107,85 107,85 127,24143 127,06887 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-16 1,1773 1,1757 108,67 108,67 127,937191 127,763319 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-17 1,1798 1,1782 107,26 107,26 126,545348 126,373732 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-20 1,1728 1,1712 107,29 107,29 125,829712 125,658048 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-21 1,1803 1,1787 107,68 107,68 127,094704 126,922416 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-22 1,1773 1,1757 107,94 107,94 127,077762 126,905058 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-23 1,1853 1,1837 109,25 109,25 129,494025 129,319225 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-27 1,1838 1,1822 108,99 108,99 129,022362 128,847978 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-28 1,1833 1,1817 109,13 109,13 129,133529 128,958921 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-29 1,1888 1,1872 108,74 108,74 129,270112 129,096128 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-06-30 1,1933 1,1917 108,73 108,73 129,747509 129,573541 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-01 1,1983 1,1967 108,39 108,39 129,883737 129,710313 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-04 1,2048 1,2032 108,63 108,63 130,877424 130,703616 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-05 1,1983 1,1967 108,86 108,86 130,446938 130,272762 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-06 1,1918 1,1902 108,78 108,78 129,644004 129,469956 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-07 1,1883 1,1867 108,7 108,7 129,16821 128,99429 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-08 1,1943 1,1927 108,38 108,38 129,438234 129,264826 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-11 1,1998 1,1982 108,33 108,33 129,974334 129,801006 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-12 1,1983 1,1967 107,61 107,61 128,949063 128,776887 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-13 1,1908 1,1892 107,7 107,7 128,24916 128,07684 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-14 1,1838 1,1822 108,14 108,14 128,016132 127,843108 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-15 1,1823 1,1807 108,58 108,58 128,374134 128,200406 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-18 1,1808 1,1792 108,82 108,82 128,494656 128,320544 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-19 1,1768 1,1752 109,48 109,48 128,836064 128,660896 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-20 1,1768 1,1752 108,41 108,41 127,576888 127,403432 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-21 1,1863 1,1847 108,37 108,37 128,559331 128,385939 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-22 1,1868 1,1852 108,37 108,37 128,613516 128,440124 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-25 1,1863 1,1847 107,99 107,99 128,108537 127,935753 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-26 1,1913 1,1897 108,07 108,07 128,743791 128,570879 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-27 1,1978 1,1962 108,17 108,17 129,566026 129,392954 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-28 1,1928 1,1912 107,87 107,87 128,667336 128,494744 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-07-29 1,1883 1,1867 107,49 107,49 127,730367 127,558383 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-01 1,1963 1,1947 106,49 106,49 127,393987 127,223603 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-02 1,1983 1,1967 106,48 106,48 127,594984 127,424616 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-03 1,1933 1,1917 106,08 106,08 126,585264 126,415536 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-04 1,1933 1,1917 106,4 106,4 126,96712 126,79688 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-05 1,1873 1,1857 106,35 106,35 126,269355 126,099195 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-08 1,1783 1,1767 106,65 106,65 125,665695 125,495055 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-09 1,1818 1,1802 106,49 106,49 125,849882 125,679498 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-10 1,1843 1,1827 106,46 106,46 126,080578 125,910242 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-11 1,1828 1,1812 106,27 106,27 125,696156 125,526124 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-12 1,1793 1,1777 106,42 106,42 125,501106 125,330834 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-15 1,1768 1,1752 107,66 107,66 126,694288 126,522032 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-16 1,1653 1,1637 107,92 107,92 125,759176 125,586504 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-17 1,1773 1,1757 107,67 107,67 126,759891 126,587619 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-18 1,1773 1,1757 108,33 108,33 127,536909 127,363581 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-19 1,1748 1,1732 108,83 108,83 127,853484 127,679356 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-22 1,1728 1,1712 108,67 108,67 127,448176 127,274304 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-23 1,1708 1,1692 108,73 108,73 127,301084 127,127116 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-24 1,1743 1,1727 108,34 108,34 127,223662 127,050318 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-25 1,1768 1,1752 108,01 108,01 127,106168 126,933352 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-26 1,1773 1,1757 107,69 107,69 126,783437 126,611133 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-29 1,1798 1,1782 107,58 107,58 126,922884 126,750756 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-30 1,1793 1,1777 108,19 108,19 127,588467 127,415363 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-08-31 1,1848 1,1832 107,33 107,33 127,164584 126,992856 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-01 1,1888 1,1872 106,46 106,46 126,559648 126,389312 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-02 1,1948 1,1932 105,93 105,93 126,565164 126,395676 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-05 1,1903 1,1887 106,39 106,39 126,636017 126,465793 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-06 1,1898 1,1882 106,49 106,49 126,701802 126,531418 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-07 1,1938 1,1922 106,3 106,3 126,90094 126,73086 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-08 1,1988 1,1972 106,47 106,47 127,636236 127,465884 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-09 1,2008 1,1992 106,37 106,37 127,729096 127,558904 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-12 1,1953 1,1937 106,77 106,77 127,622181 127,451349 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-13 1,1938 1,1922 106,88 106,88 127,593344 127,422336 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-14 1,1953 1,1937 106,82 106,82 127,681946 127,511034 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-15 1,2003 1,1987 106,8 106,8 128,19204 128,02116 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-16 1,2008 1,1992 106,72 106,72 128,149376 127,978624 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-19 1,1973 1,1957 106,94 106,94 128,039262 127,868158 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-20 1,2018 1,2002 106,89 106,89 128,460402 128,289378 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-21 1,1988 1,1972 106,91 106,91 128,163708 127,992652 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-22 1,2018 1,2002 106,92 106,92 128,496456 128,325384 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-23 1,2043 1,2027 107,1 107,1 128,98053 128,80917 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-26 1,1993 1,1977 107,5 107,5 128,92475 128,75275 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-27 1,2003 1,1987 107,56 107,56 129,104268 128,932172 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-28 1,2013 1,1997 107,37 107,37 128,983581 128,811789 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-29 1,2023 1,2007 107,39 107,39 129,114997 128,943173 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-09-30 1,1918 1,1902 108,12 108,12 128,857416 128,684424 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-03 1,1798 1,1782 108,19 108,19 127,642562 127,469458 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-04 1,1838 1,1822 108,36 108,36 128,276568 128,103192 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-05 1,1788 1,1772 108,13 108,13 127,463644 127,290636 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-06 1,1798 1,1782 107,67 107,67 127,029066 126,856794 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-07 1,1828 1,1812 107,69 107,69 127,375732 127,203428 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-10 1,1808 1,1792 107,64 107,64 127,101312 126,929088 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-11 1,1898 1,1882 107,37 107,37 127,748826 127,577034 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-12 1,1918 1,1902 106,84 106,84 127,331912 127,160968 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-13 1,2023 1,2007 107,22 107,22 128,910606 128,739054 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-14 1,2028 1,2012 106,82 106,82 128,483096 128,312184 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-17 1,2118 1,2102 106,8 106,8 129,42024 129,24936 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-18 1,2118 1,2102 107,11 107,11 129,795898 129,624522 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-19 1,2103 1,2087 107,03 107,03 129,538409 129,367161 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-20 1,2173 1,2157 106,83 106,83 130,044159 129,873231 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-21 1,2183 1,2167 106,81 106,81 130,126623 129,955727 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-24 1,2243 1,2227 107,23 107,23 131,281689 131,110121 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-25 1,2203 1,2187 106,91 106,91 130,462273 130,291217 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-26 1,2148 1,2132 106,53 106,53 129,412644 129,242196 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-27 1,2228 1,2212 106,36 106,36 130,057008 129,886832 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-28 1,2188 1,2172 106,28 106,28 129,534064 129,364016 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-10-31 1,2233 1,2217 106,58 106,58 130,379314 130,208786 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-01 1,2273 1,2257 106,29 106,29 130,449717 130,279653 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-02 1,2338 1,2322 106,29 106,29 131,140602 130,970538 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-03 1,2398 1,2382 106,56 106,56 132,113088 131,942592 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-04 1,2308 1,2292 106,61 106,61 131,215588 131,045012 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-07 1,2348 1,2332 106,97 106,97 132,086556 131,915404 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-08 1,2298 1,2282 107,08 107,08 131,686984 131,515656 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-09 1,2278 1,2262 106,58 106,58 130,858924 130,688396 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-10 1,2428 1,2412 106,41 106,41 132,246348 132,076092 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-11 1,2453 1,2437 106,75 106,75 132,935775 132,764975 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-14 1,2323 1,2307 107,13 107,13 132,016299 131,844891 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-15 1,2293 1,2277 107,34 107,34 131,953062 131,781318 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-16 1,2298 1,2282 107,72 107,72 132,474056 132,301704 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-17 1,2318 1,2302 108,03 108,03 133,071354 132,898506 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-18 1,2233 1,2217 108,12 108,12 132,263196 132,090204 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-21 1,2168 1,2152 108,35 108,35 131,84028 131,66692 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-22 1,2143 1,2127 108,12 108,12 131,290116 131,117124 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-23 1,2093 1,2077 108,14 108,14 130,773702 130,600678 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-24 1,2083 1,2067 108,37 108,37 130,943471 130,770079 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-25 1,2028 1,2012 108,37 108,37 130,347436 130,174044 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-28 1,2068 1,2052 108,47 108,47 130,901596 130,728044 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-29 1,1968 1,1952 109,04 109,04 130,499072 130,324608 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-11-30 1,1983 1,1967 109,24 109,24 130,902292 130,727508 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-01 1,1963 1,1947 109,62 109,62 131,138406 130,963014 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-02 1,1993 1,1977 109,06 109,06 130,795658 130,621162 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-05 1,1908 1,1892 109,08 109,08 129,892464 129,717936 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-06 1,1948 1,1932 108,96 108,96 130,185408 130,011072 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-07 1,1833 1,1817 109,2 109,2 129,21636 129,04164 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-08 1,1848 1,1832 109,01 109,01 129,155048 128,980632 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-12 1,1888 1,1872 108,55 108,55 129,04424 128,87056 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-13 1,1853 1,1837 108,75 108,75 128,901375 128,727375 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-14 1,1888 1,1872 108,29 108,29 128,735152 128,561888 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-15 1,1868 1,1852 108,72 108,72 129,028896 128,854944 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-16 1,1943 1,1927 108,85 108,85 129,999555 129,825395 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-19 1,1818 1,1802 109,22 109,22 129,076196 128,901444 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-20 1,1728 1,1712 110,03 110,03 129,043184 128,867136 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-21 1,1728 1,1712 110,1 110,1 129,12528 128,94912 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-22 1,1778 1,1762 109,94 109,94 129,487332 129,311428 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-23 1,1738 1,1722 110,03 110,03 129,153214 128,977166 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-27 1,1833 1,1817 109,82 109,82 129,950006 129,774294 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-28 1,1763 1,1747 109,9 109,9 129,27537 129,09953 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-29 1,1718 1,1702 109,07 109,07 127,808226 127,633714 975680 ABN AMRO Kapitalforvaltning AS ABN AMRO Obligasjon Utland NOK 2005-12-30 1,1768 1,1752 108,88 108,88 128,129984 127,955776 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-03 1 1 1076,84 1076,84 1076,84 1076,84 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-04 1 1 1078,12 1078,12 1078,12 1078,12 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-05 1 1 1075,63 1075,63 1075,63 1075,63 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-07 1 1 1079,97 1079,97 1079,97 1079,97 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-10 1 1 1081,37 1081,37 1081,37 1081,37 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-11 1 1 1081,63 1081,63 1081,63 1081,63 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-12 1 1 1081,44 1081,44 1081,44 1081,44 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-13 1 1 1083,7 1083,7 1083,7 1083,7 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-14 1 1 1083,9 1083,9 1083,9 1083,9 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-17 1 1 1085,41 1085,41 1085,41 1085,41 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-18 1 1 1084,21 1084,21 1084,21 1084,21 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-19 1 1 1086,24 1086,24 1086,24 1086,24 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-20 1 1 1083,85 1083,85 1083,85 1083,85 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-21 1 1 1085,13 1085,13 1085,13 1085,13 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-24 1 1 1087,74 1087,74 1087,74 1087,74 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-25 1 1 1088,02 1088,02 1088,02 1088,02 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-26 1 1 1085,99 1085,99 1085,99 1085,99 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-27 1 1 1084,81 1084,81 1084,81 1084,81 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-28 1 1 1087,69 1087,69 1087,69 1087,69 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-01-31 1 1 1087,91 1087,91 1087,91 1087,91 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-01 1 1 1089,39 1089,39 1089,39 1089,39 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-02 1 1 1089,31 1089,31 1089,31 1089,31 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-03 1 1 1088,33 1088,33 1088,33 1088,33 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-04 1 1 1090,84 1090,84 1090,84 1090,84 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-07 1 1 1091,52 1091,52 1091,52 1091,52 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-08 1 1 1091,3 1091,3 1091,3 1091,3 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-09 1 1 1092,68 1092,68 1092,68 1092,68 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-10 1 1 1094,57 1094,57 1094,57 1094,57 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-11 1 1 1043,19 1043,19 1043,19 1043,19 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-14 1 1 1041,95 1041,95 1041,95 1041,95 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-15 1 1 1041,42 1041,42 1041,42 1041,42 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-16 1 1 1042,34 1042,34 1042,34 1042,34 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-17 1 1 1040,41 1040,41 1040,41 1040,41 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-18 1 1 1036,58 1036,58 1036,58 1036,58 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-21 1 1 1035,01 1035,01 1035,01 1035,01 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-22 1 1 1033,88 1033,88 1033,88 1033,88 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-23 1 1 1035,7 1035,7 1035,7 1035,7 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-24 1 1 1034,37 1034,37 1034,37 1034,37 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-25 1 1 1033,29 1033,29 1033,29 1033,29 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-02-28 1 1 1034,85 1034,85 1034,85 1034,85 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-01 1 1 1034,08 1034,08 1034,08 1034,08 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-02 1 1 1032,42 1032,42 1032,42 1032,42 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-03 1 1 1034,11 1034,11 1034,11 1034,11 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-04 1 1 1036,11 1036,11 1036,11 1036,11 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-07 1 1 1037,6 1037,6 1037,6 1037,6 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-08 1 1 1038,74 1038,74 1038,74 1038,74 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-09 1 1 1036,63 1036,63 1036,63 1036,63 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-10 1 1 1036,71 1036,71 1036,71 1036,71 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-11 1 1 1035 1035 1035 1035 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-14 1 1 1034,6 1034,6 1034,6 1034,6 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-15 1 1 1036,59 1036,59 1036,59 1036,59 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-16 1 1 1036,13 1036,13 1036,13 1036,13 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-17 1 1 1036,65 1036,65 1036,65 1036,65 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-18 1 1 1036,52 1036,52 1036,52 1036,52 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-21 1 1 1035,99 1035,99 1035,99 1035,99 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-22 1 1 1037,21 1037,21 1037,21 1037,21 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-23 1 1 1036,71 1036,71 1036,71 1036,71 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-24 1 1 1037,34 1037,34 1037,34 1037,34 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-29 1 1 1037,99 1037,99 1037,99 1037,99 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-30 1 1 1038,6 1038,6 1038,6 1038,6 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-03-31 1 1 1040,8 1040,8 1040,8 1040,8 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-01 1 1 1043,18 1043,18 1043,18 1043,18 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-04 1 1 1043,63 1043,63 1043,63 1043,63 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-05 1 1 1043,92 1043,92 1043,92 1043,92 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-06 1 1 1044,4 1044,4 1044,4 1044,4 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-07 1 1 1044,87 1044,87 1044,87 1044,87 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-08 1 1 1043,11 1043,11 1043,11 1043,11 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-11 1 1 1044,3 1044,3 1044,3 1044,3 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-12 1 1 1045,03 1045,03 1045,03 1045,03 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-13 1 1 1046,84 1046,84 1046,84 1046,84 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-14 1 1 1047,82 1047,82 1047,82 1047,82 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-15 1 1 1050,14 1050,14 1050,14 1050,14 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-18 1 1 1051,25 1051,25 1051,25 1051,25 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-19 1 1 1050,48 1050,48 1050,48 1050,48 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-20 1 1 1051,3 1051,3 1051,3 1051,3 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-21 1 1 1051,24 1051,24 1051,24 1051,24 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-22 1 1 1053,6 1053,6 1053,6 1053,6 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-25 1 1 1055,1 1055,1 1055,1 1055,1 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-26 1 1 1056,51 1056,51 1056,51 1056,51 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-27 1 1 1057,69 1057,69 1057,69 1057,69 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-28 1 1 1059,43 1059,43 1059,43 1059,43 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-04-29 1 1 1059,85 1059,85 1059,85 1059,85 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-02 1 1 1060,96 1060,96 1060,96 1060,96 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-03 1 1 1061,23 1061,23 1061,23 1061,23 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-04 1 1 1058,05 1058,05 1058,05 1058,05 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-06 1 1 1055,17 1055,17 1055,17 1055,17 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-09 1 1 1056,25 1056,25 1056,25 1056,25 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-10 1 1 1060,37 1060,37 1060,37 1060,37 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-11 1 1 1062,23 1062,23 1062,23 1062,23 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-12 1 1 1061,02 1061,02 1061,02 1061,02 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-13 1 1 1064,26 1064,26 1064,26 1064,26 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-16 1 1 1064,7 1064,7 1064,7 1064,7 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-17 1 1 1064,87 1064,87 1064,87 1064,87 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-18 1 1 1067,86 1067,86 1067,86 1067,86 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-19 1 1 1067,28 1067,28 1067,28 1067,28 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-20 1 1 1064,58 1064,58 1064,58 1064,58 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-23 1 1 1063,86 1063,86 1063,86 1063,86 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-24 1 1 1066,67 1066,67 1066,67 1066,67 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-25 1 1 1067,78 1067,78 1067,78 1067,78 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-26 1 1 1066,21 1066,21 1066,21 1066,21 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-27 1 1 1066,71 1066,71 1066,71 1066,71 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-30 1 1 1065,35 1065,35 1065,35 1065,35 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-05-31 1 1 1068,37 1068,37 1068,37 1068,37 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-01 1 1 1069,76 1069,76 1069,76 1069,76 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-02 1 1 1071,52 1071,52 1071,52 1071,52 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-03 1 1 1075,89 1075,89 1075,89 1075,89 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-07 1 1 1076,37 1076,37 1076,37 1076,37 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-08 1 1 1080,11 1080,11 1080,11 1080,11 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-09 1 1 1079,91 1079,91 1079,91 1079,91 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-10 1 1 1080,06 1080,06 1080,06 1080,06 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-13 1 1 1079 1079 1079 1079 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-14 1 1 1076,94 1076,94 1076,94 1076,94 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-15 1 1 1074,34 1074,34 1074,34 1074,34 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-16 1 1 1071,79 1071,79 1071,79 1071,79 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-17 1 1 1074,19 1074,19 1074,19 1074,19 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-20 1 1 1074,69 1074,69 1074,69 1074,69 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-21 1 1 1080,79 1080,79 1080,79 1080,79 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-22 1 1 1085,58 1085,58 1085,58 1085,58 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-23 1 1 1084,77 1084,77 1084,77 1084,77 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-27 1 1 1086,58 1086,58 1086,58 1086,58 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-28 1 1 1085,05 1085,05 1085,05 1085,05 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-29 1 1 1086,73 1086,73 1086,73 1086,73 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-06-30 1 1 1086,69 1086,69 1086,69 1086,69 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-01 1 1 1088,16 1088,16 1088,16 1088,16 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-04 1 1 1085,43 1085,43 1085,43 1085,43 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-05 1 1 1082,58 1082,58 1082,58 1082,58 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-06 1 1 1083,64 1083,64 1083,64 1083,64 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-07 1 1 1085,38 1085,38 1085,38 1085,38 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-08 1 1 1086,72 1086,72 1086,72 1086,72 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-11 1 1 1083,9 1083,9 1083,9 1083,9 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-12 1 1 1082,2 1082,2 1082,2 1082,2 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-13 1 1 1081,6 1081,6 1081,6 1081,6 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-14 1 1 1080,77 1080,77 1080,77 1080,77 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-15 1 1 1079,2 1079,2 1079,2 1079,2 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-18 1 1 1081,16 1081,16 1081,16 1081,16 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-19 1 1 1080,85 1080,85 1080,85 1080,85 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-20 1 1 1080,68 1080,68 1080,68 1080,68 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-21 1 1 1081,71 1081,71 1081,71 1081,71 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-22 1 1 1083,54 1083,54 1083,54 1083,54 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-25 1 1 1084,96 1084,96 1084,96 1084,96 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-26 1 1 1083,94 1083,94 1083,94 1083,94 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-27 1 1 1085,91 1085,91 1085,91 1085,91 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-28 1 1 1084,48 1084,48 1084,48 1084,48 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-07-29 1 1 1082,43 1082,43 1082,43 1082,43 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-01 1 1 1078,55 1078,55 1078,55 1078,55 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-02 1 1 1076,44 1076,44 1076,44 1076,44 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-03 1 1 1075,1 1075,1 1075,1 1075,1 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-04 1 1 1077 1077 1077 1077 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-05 1 1 1074,2 1074,2 1074,2 1074,2 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-08 1 1 1074,02 1074,02 1074,02 1074,02 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-09 1 1 1074,61 1074,61 1074,61 1074,61 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-10 1 1 1076,36 1076,36 1076,36 1076,36 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-11 1 1 1076,67 1076,67 1076,67 1076,67 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-12 1 1 1077,64 1077,64 1077,64 1077,64 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-15 1 1 1078,29 1078,29 1078,29 1078,29 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-16 1 1 1079,11 1079,11 1079,11 1079,11 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-17 1 1 1079,41 1079,41 1079,41 1079,41 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-18 1 1 1079,25 1079,25 1079,25 1079,25 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-19 1 1 1078,96 1078,96 1078,96 1078,96 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-22 1 1 1079,86 1079,86 1079,86 1079,86 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-23 1 1 1082,73 1082,73 1082,73 1082,73 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-24 1 1 1082,43 1082,43 1082,43 1082,43 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-25 1 1 1083,7 1083,7 1083,7 1083,7 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-26 1 1 1084,15 1084,15 1084,15 1084,15 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-29 1 1 1083,6 1083,6 1083,6 1083,6 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-30 1 1 1083,76 1083,76 1083,76 1083,76 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-08-31 1 1 1086,36 1086,36 1086,36 1086,36 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-01 1 1 1087,74 1087,74 1087,74 1087,74 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-02 1 1 1088,32 1088,32 1088,32 1088,32 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-05 1 1 1089,72 1089,72 1089,72 1089,72 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-06 1 1 1088,05 1088,05 1088,05 1088,05 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-07 1 1 1088,15 1088,15 1088,15 1088,15 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-08 1 1 1089,53 1089,53 1089,53 1089,53 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-09 1 1 1091,45 1091,45 1091,45 1091,45 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-12 1 1 1087,35 1087,35 1087,35 1087,35 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-13 1 1 1087,43 1087,43 1087,43 1087,43 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-14 1 1 1087,58 1087,58 1087,58 1087,58 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-15 1 1 1086,28 1086,28 1086,28 1086,28 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-16 1 1 1085,47 1085,47 1085,47 1085,47 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-19 1 1 1085,68 1085,68 1085,68 1085,68 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-20 1 1 1087,65 1087,65 1087,65 1087,65 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-21 1 1 1090,26 1090,26 1090,26 1090,26 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-22 1 1 1089,99 1089,99 1089,99 1089,99 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-23 1 1 1087,96 1087,96 1087,96 1087,96 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-26 1 1 1085,28 1085,28 1085,28 1085,28 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-27 1 1 1085,63 1085,63 1085,63 1085,63 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-28 1 1 1084,48 1084,48 1084,48 1084,48 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-29 1 1 1082,51 1082,51 1082,51 1082,51 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-09-30 1 1 1083,03 1083,03 1083,03 1083,03 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-03 1 1 1079,36 1079,36 1079,36 1079,36 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-04 1 1 1080,34 1080,34 1080,34 1080,34 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-05 1 1 1080,98 1080,98 1080,98 1080,98 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-06 1 1 1079,71 1079,71 1079,71 1079,71 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-07 1 1 1079,49 1079,49 1079,49 1079,49 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-10 1 1 1079,91 1079,91 1079,91 1079,91 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-11 1 1 1079,57 1079,57 1079,57 1079,57 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-12 1 1 1078,47 1078,47 1078,47 1078,47 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-13 1 1 1077,88 1077,88 1077,88 1077,88 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-14 1 1 1077,86 1077,86 1077,86 1077,86 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-17 1 1 1077,75 1077,75 1077,75 1077,75 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-18 1 1 1077,67 1077,67 1077,67 1077,67 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-19 1 1 1079,35 1079,35 1079,35 1079,35 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-20 1 1 1077,62 1077,62 1077,62 1077,62 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-21 1 1 1080,01 1080,01 1080,01 1080,01 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-24 1 1 1080,33 1080,33 1080,33 1080,33 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-25 1 1 1078,22 1078,22 1078,22 1078,22 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-26 1 1 1074,98 1074,98 1074,98 1074,98 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-27 1 1 1075,52 1075,52 1075,52 1075,52 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-28 1 1 1074,9 1074,9 1074,9 1074,9 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-10-31 1 1 1073,95 1073,95 1073,95 1073,95 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-01 1 1 1073,48 1073,48 1073,48 1073,48 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-02 1 1 1071,84 1071,84 1071,84 1071,84 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-03 1 1 1071,51 1071,51 1071,51 1071,51 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-04 1 1 1068,63 1068,63 1068,63 1068,63 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-07 1 1 1067,94 1067,94 1067,94 1067,94 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-08 1 1 1068,69 1068,69 1068,69 1068,69 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-09 1 1 1067,58 1067,58 1067,58 1067,58 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-10 1 1 1067,74 1067,74 1067,74 1067,74 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-11 1 1 1068,77 1068,77 1068,77 1068,77 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-14 1 1 1070,18 1070,18 1070,18 1070,18 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-15 1 1 1068,45 1068,45 1068,45 1068,45 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-16 1 1 1071,43 1071,43 1071,43 1071,43 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-17 1 1 1070,94 1070,94 1070,94 1070,94 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-18 1 1 1067,93 1067,93 1067,93 1067,93 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-21 1 1 1069,14 1069,14 1069,14 1069,14 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-22 1 1 1070,36 1070,36 1070,36 1070,36 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-23 1 1 1071,19 1071,19 1071,19 1071,19 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-24 1 1 1073,84 1073,84 1073,84 1073,84 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-25 1 1 1072,55 1072,55 1072,55 1072,55 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-28 1 1 1072,48 1072,48 1072,48 1072,48 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-29 1 1 1073,31 1073,31 1073,31 1073,31 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-11-30 1 1 1071,48 1071,48 1071,48 1071,48 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-01 1 1 1072,84 1072,84 1072,84 1072,84 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-02 1 1 1070,42 1070,42 1070,42 1070,42 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-05 1 1 1068,85 1068,85 1068,85 1068,85 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-06 1 1 1068,45 1068,45 1068,45 1068,45 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-07 1 1 1069,67 1069,67 1069,67 1069,67 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-08 1 1 1068,46 1068,46 1068,46 1068,46 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-12 1 1 1068,2 1068,2 1068,2 1068,2 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-13 1 1 1069,36 1069,36 1069,36 1069,36 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-14 1 1 1071,07 1071,07 1071,07 1071,07 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-15 1 1 1072,12 1072,12 1072,12 1072,12 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-16 1 1 1072,36 1072,36 1072,36 1072,36 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-19 1 1 1073,79 1073,79 1073,79 1073,79 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-20 1 1 1073,05 1073,05 1073,05 1073,05 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-21 1 1 1071,93 1071,93 1071,93 1071,93 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-22 1 1 1070,84 1070,84 1070,84 1070,84 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-23 1 1 1071,44 1071,44 1071,44 1071,44 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-27 1 1 1073,24 1073,24 1073,24 1073,24 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-28 1 1 1073,16 1073,16 1073,16 1073,16 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-29 1 1 1072,92 1072,92 1072,92 1072,92 325902 Banco Fonder AB ABN AMRO Obligationsfond SEK 2005-12-30 1 1 1073,46 1073,46 1073,46 1073,46 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-03 1 1 1002,01 1002,01 1002,01 1002,01 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-04 1 1 1002,05 1002,05 1002,05 1002,05 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-05 1 1 1002,06 1002,06 1002,06 1002,06 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-07 1 1 1002,25 1002,25 1002,25 1002,25 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-10 1 1 1002,39 1002,39 1002,39 1002,39 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-11 1 1 1002,45 1002,45 1002,45 1002,45 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-12 1 1 1002,48 1002,48 1002,48 1002,48 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-13 1 1 1002,55 1002,55 1002,55 1002,55 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-14 1 1 1002,6 1002,6 1002,6 1002,6 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-17 1 1 1002,74 1002,74 1002,74 1002,74 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-18 1 1 1002,73 1002,73 1002,73 1002,73 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-19 1 1 1002,87 1002,87 1002,87 1002,87 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-20 1 1 1002,85 1002,85 1002,85 1002,85 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-21 1 1 1003,08 1003,08 1003,08 1003,08 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-24 1 1 1003,38 1003,38 1003,38 1003,38 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-25 1 1 1003,42 1003,42 1003,42 1003,42 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-26 1 1 1003,38 1003,38 1003,38 1003,38 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-27 1 1 1003,31 1003,31 1003,31 1003,31 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-28 1 1 1003,53 1003,53 1003,53 1003,53 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-01-31 1 1 1003,6 1003,6 1003,6 1003,6 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-01 1 1 1003,68 1003,68 1003,68 1003,68 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-02 1 1 1003,72 1003,72 1003,72 1003,72 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-03 1 1 1003,68 1003,68 1003,68 1003,68 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-04 1 1 1003,86 1003,86 1003,86 1003,86 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-07 1 1 1003,92 1003,92 1003,92 1003,92 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-08 1 1 1003,86 1003,86 1003,86 1003,86 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-09 1 1 1004,03 1004,03 1004,03 1004,03 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-10 1 1 1004,19 1004,19 1004,19 1004,19 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-11 1 1 983,02 983,02 983,02 983,02 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-14 1 1 983,03 983,03 983,03 983,03 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-15 1 1 983,01 983,01 983,01 983,01 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-16 1 1 983,16 983,16 983,16 983,16 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-17 1 1 983,26 983,26 983,26 983,26 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-18 1 1 983,1 983,1 983,1 983,1 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-21 1 1 983,05 983,05 983,05 983,05 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-22 1 1 982,99 982,99 982,99 982,99 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-23 1 1 983,12 983,12 983,12 983,12 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-24 1 1 983,06 983,06 983,06 983,06 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-25 1 1 983,03 983,03 983,03 983,03 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-02-28 1 1 983,27 983,27 983,27 983,27 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-01 1 1 983,41 983,41 983,41 983,41 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-02 1 1 983,36 983,36 983,36 983,36 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-03 1 1 983,59 983,59 983,59 983,59 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-04 1 1 983,78 983,78 983,78 983,78 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-07 1 1 983,95 983,95 983,95 983,95 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-08 1 1 984,18 984,18 984,18 984,18 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-09 1 1 984,24 984,24 984,24 984,24 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-10 1 1 984,29 984,29 984,29 984,29 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-11 1 1 984,22 984,22 984,22 984,22 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-14 1 1 984,33 984,33 984,33 984,33 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-15 1 1 984,36 984,36 984,36 984,36 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-16 1 1 984,3 984,3 984,3 984,3 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-17 1 1 984,39 984,39 984,39 984,39 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-18 1 1 984,37 984,37 984,37 984,37 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-21 1 1 984,37 984,37 984,37 984,37 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-22 1 1 984,44 984,44 984,44 984,44 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-23 1 1 984,41 984,41 984,41 984,41 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-24 1 1 984,64 984,64 984,64 984,64 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-29 1 1 984,79 984,79 984,79 984,79 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-30 1 1 984,89 984,89 984,89 984,89 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-03-31 1 1 984,99 984,99 984,99 984,99 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-01 1 1 985,46 985,46 985,46 985,46 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-04 1 1 985,52 985,52 985,52 985,52 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-05 1 1 985,5 985,5 985,5 985,5 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-06 1 1 985,58 985,58 985,58 985,58 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-07 1 1 985,62 985,62 985,62 985,62 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-08 1 1 985,49 985,49 985,49 985,49 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-11 1 1 985,75 985,75 985,75 985,75 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-12 1 1 985,82 985,82 985,82 985,82 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-13 1 1 986,01 986,01 986,01 986,01 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-14 1 1 986,28 986,28 986,28 986,28 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-15 1 1 986,67 986,67 986,67 986,67 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-18 1 1 986,84 986,84 986,84 986,84 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-19 1 1 986,88 986,88 986,88 986,88 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-20 1 1 986,92 986,92 986,92 986,92 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-21 1 1 986,91 986,91 986,91 986,91 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-22 1 1 987,04 987,04 987,04 987,04 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-25 1 1 987,24 987,24 987,24 987,24 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-26 1 1 987,3 987,3 987,3 987,3 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-27 1 1 987,56 987,56 987,56 987,56 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-28 1 1 987,7 987,7 987,7 987,7 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-04-29 1 1 987,76 987,76 987,76 987,76 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-02 1 1 987,95 987,95 987,95 987,95 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-03 1 1 988,17 988,17 988,17 988,17 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-04 1 1 988,16 988,16 988,16 988,16 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-06 1 1 988,24 988,24 988,24 988,24 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-09 1 1 988,36 988,36 988,36 988,36 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-10 1 1 988,54 988,54 988,54 988,54 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-11 1 1 988,61 988,61 988,61 988,61 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-12 1 1 988,52 988,52 988,52 988,52 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-13 1 1 988,74 988,74 988,74 988,74 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-16 1 1 988,87 988,87 988,87 988,87 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-17 1 1 988,89 988,89 988,89 988,89 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-18 1 1 989,19 989,19 989,19 989,19 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-19 1 1 989,28 989,28 989,28 989,28 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-20 1 1 989,04 989,04 989,04 989,04 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-23 1 1 989,12 989,12 989,12 989,12 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-24 1 1 989,28 989,28 989,28 989,28 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-25 1 1 989,32 989,32 989,32 989,32 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-26 1 1 989,3 989,3 989,3 989,3 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-27 1 1 989,38 989,38 989,38 989,38 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-30 1 1 989,36 989,36 989,36 989,36 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-05-31 1 1 989,58 989,58 989,58 989,58 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-01 1 1 989,77 989,77 989,77 989,77 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-02 1 1 989,87 989,87 989,87 989,87 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-03 1 1 990,08 990,08 990,08 990,08 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-07 1 1 990,22 990,22 990,22 990,22 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-08 1 1 990,9 990,9 990,9 990,9 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-09 1 1 991 991 991 991 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-10 1 1 991,02 991,02 991,02 991,02 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-13 1 1 991,18 991,18 991,18 991,18 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-14 1 1 991,08 991,08 991,08 991,08 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-15 1 1 991,12 991,12 991,12 991,12 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-16 1 1 991,31 991,31 991,31 991,31 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-17 1 1 991,6 991,6 991,6 991,6 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-20 1 1 991,69 991,69 991,69 991,69 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-21 1 1 992,59 992,59 992,59 992,59 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-22 1 1 993,21 993,21 993,21 993,21 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-23 1 1 993,04 993,04 993,04 993,04 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-27 1 1 993,12 993,12 993,12 993,12 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-28 1 1 993,03 993,03 993,03 993,03 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-29 1 1 993,17 993,17 993,17 993,17 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-06-30 1 1 993,12 993,12 993,12 993,12 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-01 1 1 993,16 993,16 993,16 993,16 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-04 1 1 992,94 992,94 992,94 992,94 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-05 1 1 992,8 992,8 992,8 992,8 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-06 1 1 992,95 992,95 992,95 992,95 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-07 1 1 993,29 993,29 993,29 993,29 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-08 1 1 993,42 993,42 993,42 993,42 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-11 1 1 993,33 993,33 993,33 993,33 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-12 1 1 993,28 993,28 993,28 993,28 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-13 1 1 993,22 993,22 993,22 993,22 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-14 1 1 993,28 993,28 993,28 993,28 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-15 1 1 993,15 993,15 993,15 993,15 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-18 1 1 993,38 993,38 993,38 993,38 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-19 1 1 993,37 993,37 993,37 993,37 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-20 1 1 993,38 993,38 993,38 993,38 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-21 1 1 993,47 993,47 993,47 993,47 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-22 1 1 993,52 993,52 993,52 993,52 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-25 1 1 993,66 993,66 993,66 993,66 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-26 1 1 993,59 993,59 993,59 993,59 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-27 1 1 993,71 993,71 993,71 993,71 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-28 1 1 993,6 993,6 993,6 993,6 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-07-29 1 1 993,25 993,25 993,25 993,25 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-01 1 1 993,03 993,03 993,03 993,03 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-02 1 1 992,57 992,57 992,57 992,57 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-03 1 1 992,96 992,96 992,96 992,96 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-04 1 1 993,06 993,06 993,06 993,06 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-05 1 1 993,07 993,07 993,07 993,07 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-08 1 1 993,04 993,04 993,04 993,04 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-09 1 1 993,16 993,16 993,16 993,16 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-10 1 1 993,35 993,35 993,35 993,35 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-11 1 1 993,48 993,48 993,48 993,48 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-12 1 1 993,55 993,55 993,55 993,55 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-15 1 1 993,58 993,58 993,58 993,58 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-16 1 1 993,61 993,61 993,61 993,61 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-17 1 1 993,6 993,6 993,6 993,6 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-18 1 1 993,61 993,61 993,61 993,61 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-19 1 1 993,63 993,63 993,63 993,63 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-22 1 1 993,7 993,7 993,7 993,7 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-23 1 1 993,78 993,78 993,78 993,78 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-24 1 1 993,76 993,76 993,76 993,76 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-25 1 1 993,81 993,81 993,81 993,81 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-26 1 1 993,78 993,78 993,78 993,78 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-29 1 1 993,8 993,8 993,8 993,8 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-30 1 1 993,82 993,82 993,82 993,82 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-08-31 1 1 993,92 993,92 993,92 993,92 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-01 1 1 994,01 994,01 994,01 994,01 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-02 1 1 994,12 994,12 994,12 994,12 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-05 1 1 994,23 994,23 994,23 994,23 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-06 1 1 994,24 994,24 994,24 994,24 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-07 1 1 994,3 994,3 994,3 994,3 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-08 1 1 994,39 994,39 994,39 994,39 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-09 1 1 994,4 994,4 994,4 994,4 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-12 1 1 994,22 994,22 994,22 994,22 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-13 1 1 994,24 994,24 994,24 994,24 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-14 1 1 994,23 994,23 994,23 994,23 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-15 1 1 994,2 994,2 994,2 994,2 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-16 1 1 994,21 994,21 994,21 994,21 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-19 1 1 994,32 994,32 994,32 994,32 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-20 1 1 994,51 994,51 994,51 994,51 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-21 1 1 994,59 994,59 994,59 994,59 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-22 1 1 994,65 994,65 994,65 994,65 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-23 1 1 994,45 994,45 994,45 994,45 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-26 1 1 994,46 994,46 994,46 994,46 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-27 1 1 994,5 994,5 994,5 994,5 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-28 1 1 994,45 994,45 994,45 994,45 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-29 1 1 994,24 994,24 994,24 994,24 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-09-30 1 1 994,26 994,26 994,26 994,26 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-03 1 1 994,12 994,12 994,12 994,12 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-04 1 1 994,13 994,13 994,13 994,13 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-05 1 1 994,2 994,2 994,2 994,2 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-06 1 1 994,25 994,25 994,25 994,25 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-07 1 1 994,21 994,21 994,21 994,21 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-10 1 1 994,3 994,3 994,3 994,3 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-11 1 1 994,31 994,31 994,31 994,31 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-12 1 1 994,36 994,36 994,36 994,36 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-13 1 1 994,56 994,56 994,56 994,56 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-14 1 1 994,6 994,6 994,6 994,6 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-17 1 1 994,69 994,69 994,69 994,69 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-18 1 1 994,7 994,7 994,7 994,7 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-19 1 1 994,75 994,75 994,75 994,75 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-20 1 1 994,88 994,88 994,88 994,88 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-21 1 1 994,95 994,95 994,95 994,95 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-24 1 1 995,01 995,01 995,01 995,01 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-25 1 1 995 995 995 995 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-26 1 1 994,99 994,99 994,99 994,99 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-27 1 1 995,07 995,07 995,07 995,07 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-28 1 1 995,03 995,03 995,03 995,03 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-10-31 1 1 995,13 995,13 995,13 995,13 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-01 1 1 995,13 995,13 995,13 995,13 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-02 1 1 995,12 995,12 995,12 995,12 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-03 1 1 995,17 995,17 995,17 995,17 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-04 1 1 995,12 995,12 995,12 995,12 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-07 1 1 995,18 995,18 995,18 995,18 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-08 1 1 995,19 995,19 995,19 995,19 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-09 1 1 995,23 995,23 995,23 995,23 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-10 1 1 995,27 995,27 995,27 995,27 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-11 1 1 995,31 995,31 995,31 995,31 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-14 1 1 995,41 995,41 995,41 995,41 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-15 1 1 995,4 995,4 995,4 995,4 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-16 1 1 995,45 995,45 995,45 995,45 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-17 1 1 995,47 995,47 995,47 995,47 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-18 1 1 995,45 995,45 995,45 995,45 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-21 1 1 995,53 995,53 995,53 995,53 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-22 1 1 995,58 995,58 995,58 995,58 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-23 1 1 995,63 995,63 995,63 995,63 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-24 1 1 995,7 995,7 995,7 995,7 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-25 1 1 995,63 995,63 995,63 995,63 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-28 1 1 995,71 995,71 995,71 995,71 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-29 1 1 995,75 995,75 995,75 995,75 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-11-30 1 1 995,72 995,72 995,72 995,72 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-01 1 1 995,77 995,77 995,77 995,77 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-02 1 1 995,64 995,64 995,64 995,64 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-05 1 1 995,64 995,64 995,64 995,64 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-06 1 1 995,59 995,59 995,59 995,59 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-07 1 1 995,66 995,66 995,66 995,66 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-08 1 1 995,63 995,63 995,63 995,63 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-12 1 1 995,77 995,77 995,77 995,77 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-13 1 1 995,83 995,83 995,83 995,83 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-14 1 1 995,93 995,93 995,93 995,93 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-15 1 1 995,92 995,92 995,92 995,92 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-16 1 1 995,92 995,92 995,92 995,92 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-19 1 1 996,06 996,06 996,06 996,06 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-20 1 1 996,09 996,09 996,09 996,09 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-21 1 1 996,11 996,11 996,11 996,11 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-22 1 1 996,13 996,13 996,13 996,13 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-23 1 1 996,12 996,12 996,12 996,12 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-27 1 1 996,29 996,29 996,29 996,29 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-28 1 1 996,31 996,31 996,31 996,31 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-29 1 1 996,32 996,32 996,32 996,32 361733 Banco Fonder AB ABN AMRO Penningmarknadsfond SEK 2005-12-30 1 1 996,32 996,32 996,32 996,32 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-03 1 1 43,4 43,4 43,4 43,4 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-04 1 1 43,43 43,43 43,43 43,43 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-05 1 1 43,39 43,39 43,39 43,39 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-07 1 1 43,68 43,68 43,68 43,68 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-10 1 1 43,87 43,87 43,87 43,87 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-11 1 1 43,58 43,58 43,58 43,58 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-12 1 1 43,5 43,5 43,5 43,5 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-13 1 1 43,38 43,38 43,38 43,38 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-14 1 1 43,65 43,65 43,65 43,65 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-17 1 1 43,93 43,93 43,93 43,93 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-18 1 1 43,89 43,89 43,89 43,89 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-19 1 1 43,96 43,96 43,96 43,96 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-20 1 1 43,73 43,73 43,73 43,73 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-21 1 1 43,79 43,79 43,79 43,79 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-24 1 1 43,46 43,46 43,46 43,46 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-25 1 1 43,73 43,73 43,73 43,73 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-26 1 1 43,97 43,97 43,97 43,97 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-27 1 1 43,64 43,64 43,64 43,64 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-28 1 1 43,94 43,94 43,94 43,94 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-01-31 1 1 44,16 44,16 44,16 44,16 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-01 1 1 44,18 44,18 44,18 44,18 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-02 1 1 44,18 44,18 44,18 44,18 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-03 1 1 44,2 44,2 44,2 44,2 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-04 1 1 44,55 44,55 44,55 44,55 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-07 1 1 45,16 45,16 45,16 45,16 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-08 1 1 45,37 45,37 45,37 45,37 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-09 1 1 45,26 45,26 45,26 45,26 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-10 1 1 45,07 45,07 45,07 45,07 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-11 1 1 45,09 45,09 45,09 45,09 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-14 1 1 45,31 45,31 45,31 45,31 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-15 1 1 45,19 45,19 45,19 45,19 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-16 1 1 45 45 45 45 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-17 1 1 45,06 45,06 45,06 45,06 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-18 1 1 44,88 44,88 44,88 44,88 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-21 1 1 45,09 45,09 45,09 45,09 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-22 1 1 44,53 44,53 44,53 44,53 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-23 1 1 44,18 44,18 44,18 44,18 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-24 1 1 44,02 44,02 44,02 44,02 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-25 1 1 44,55 44,55 44,55 44,55 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-02-28 1 1 44,67 44,67 44,67 44,67 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-01 1 1 44,87 44,87 44,87 44,87 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-02 1 1 45 45 45 45 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-03 1 1 45,27 45,27 45,27 45,27 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-04 1 1 45,32 45,32 45,32 45,32 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-07 1 1 45,22 45,22 45,22 45,22 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-08 1 1 44,97 44,97 44,97 44,97 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-09 1 1 44,53 44,53 44,53 44,53 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-10 1 1 44,38 44,38 44,38 44,38 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-11 1 1 44,52 44,52 44,52 44,52 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-14 1 1 44,16 44,16 44,16 44,16 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-15 1 1 44,76 44,76 44,76 44,76 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-16 1 1 44,29 44,29 44,29 44,29 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-17 1 1 44,05 44,05 44,05 44,05 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-18 1 1 44,31 44,31 44,31 44,31 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-21 1 1 44,65 44,65 44,65 44,65 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-22 1 1 44,68 44,68 44,68 44,68 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-23 1 1 44,34 44,34 44,34 44,34 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-24 1 1 44,71 44,71 44,71 44,71 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-29 1 1 44,85 44,85 44,85 44,85 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-30 1 1 44,59 44,59 44,59 44,59 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-03-31 1 1 45,07 45,07 45,07 45,07 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-01 1 1 45,15 45,15 45,15 45,15 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-04 1 1 44,94 44,94 44,94 44,94 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-05 1 1 45,53 45,53 45,53 45,53 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-06 1 1 45,5 45,5 45,5 45,5 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-07 1 1 45,32 45,32 45,32 45,32 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-08 1 1 45,83 45,83 45,83 45,83 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-11 1 1 45,39 45,39 45,39 45,39 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-12 1 1 44,97 44,97 44,97 44,97 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-13 1 1 45,34 45,34 45,34 45,34 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-14 1 1 45,3 45,3 45,3 45,3 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-15 1 1 44,97 44,97 44,97 44,97 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-18 1 1 43,92 43,92 43,92 43,92 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-19 1 1 44,2 44,2 44,2 44,2 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-20 1 1 43,99 43,99 43,99 43,99 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-21 1 1 43,95 43,95 43,95 43,95 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-22 1 1 44,17 44,17 44,17 44,17 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-25 1 1 44,31 44,31 44,31 44,31 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-26 1 1 44,16 44,16 44,16 44,16 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-27 1 1 43,83 43,83 43,83 43,83 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-28 1 1 43,88 43,88 43,88 43,88 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-04-29 1 1 44,09 44,09 44,09 44,09 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-02 1 1 44,8 44,8 44,8 44,8 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-03 1 1 44,89 44,89 44,89 44,89 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-04 1 1 44,63 44,63 44,63 44,63 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-06 1 1 45,07 45,07 45,07 45,07 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-09 1 1 45,3 45,3 45,3 45,3 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-10 1 1 45,17 45,17 45,17 45,17 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-11 1 1 45,02 45,02 45,02 45,02 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-12 1 1 45,58 45,58 45,58 45,58 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-13 1 1 44,69 44,69 44,69 44,69 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-16 1 1 44,97 44,97 44,97 44,97 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-17 1 1 45,16 45,16 45,16 45,16 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-18 1 1 45,45 45,45 45,45 45,45 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-19 1 1 45,64 45,64 45,64 45,64 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-20 1 1 45,79 45,79 45,79 45,79 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-23 1 1 46,03 46,03 46,03 46,03 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-24 1 1 46,09 46,09 46,09 46,09 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-25 1 1 45,91 45,91 45,91 45,91 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-26 1 1 46,24 46,24 46,24 46,24 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-27 1 1 46,51 46,51 46,51 46,51 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-30 1 1 46,59 46,59 46,59 46,59 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-05-31 1 1 46,7 46,7 46,7 46,7 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-01 1 1 46,87 46,87 46,87 46,87 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-02 1 1 47,39 47,39 47,39 47,39 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-03 1 1 47,31 47,31 47,31 47,31 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-07 1 1 47,53 47,53 47,53 47,53 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-08 1 1 47,42 47,42 47,42 47,42 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-09 1 1 47,64 47,64 47,64 47,64 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-10 1 1 47,9 47,9 47,9 47,9 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-13 1 1 48,27 48,27 48,27 48,27 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-14 1 1 48,64 48,64 48,64 48,64 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-15 1 1 48,82 48,82 48,82 48,82 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-16 1 1 48,76 48,76 48,76 48,76 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-17 1 1 49,06 49,06 49,06 49,06 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-20 1 1 48,36 48,36 48,36 48,36 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-21 1 1 48,9 48,9 48,9 48,9 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-22 1 1 48,97 48,97 48,97 48,97 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-23 1 1 49,59 49,59 49,59 49,59 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-27 1 1 48,91 48,91 48,91 48,91 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-28 1 1 49,27 49,27 49,27 49,27 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-29 1 1 49,92 49,92 49,92 49,92 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-06-30 1 1 49,98 49,98 49,98 49,98 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-01 1 1 49,93 49,93 49,93 49,93 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-04 1 1 50,45 50,45 50,45 50,45 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-05 1 1 50,35 50,35 50,35 50,35 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-06 1 1 50,45 50,45 50,45 50,45 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-07 1 1 49,59 49,59 49,59 49,59 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-08 1 1 50,19 50,19 50,19 50,19 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-11 1 1 50,69 50,69 50,69 50,69 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-12 1 1 50,27 50,27 50,27 50,27 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-13 1 1 49,87 49,87 49,87 49,87 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-14 1 1 50,38 50,38 50,38 50,38 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-15 1 1 50,28 50,28 50,28 50,28 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-18 1 1 50,22 50,22 50,22 50,22 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-19 1 1 50,84 50,84 50,84 50,84 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-20 1 1 50,69 50,69 50,69 50,69 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-21 1 1 50,67 50,67 50,67 50,67 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-22 1 1 50,48 50,48 50,48 50,48 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-25 1 1 50,88 50,88 50,88 50,88 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-26 1 1 50,9 50,9 50,9 50,9 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-27 1 1 51,45 51,45 51,45 51,45 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-28 1 1 51,39 51,39 51,39 51,39 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-07-29 1 1 51,01 51,01 51,01 51,01 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-01 1 1 50,76 50,76 50,76 50,76 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-02 1 1 50,76 50,76 50,76 50,76 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-03 1 1 50,74 50,74 50,74 50,74 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-04 1 1 50,26 50,26 50,26 50,26 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-05 1 1 49,65 49,65 49,65 49,65 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-08 1 1 49,63 49,63 49,63 49,63 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-09 1 1 49,66 49,66 49,66 49,66 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-10 1 1 50,22 50,22 50,22 50,22 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-11 1 1 49,98 49,98 49,98 49,98 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-12 1 1 49,66 49,66 49,66 49,66 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-15 1 1 49,88 49,88 49,88 49,88 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-16 1 1 49,95 49,95 49,95 49,95 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-17 1 1 50,11 50,11 50,11 50,11 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-18 1 1 50,07 50,07 50,07 50,07 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-19 1 1 50,71 50,71 50,71 50,71 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-22 1 1 51,07 51,07 51,07 51,07 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-23 1 1 50,6 50,6 50,6 50,6 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-24 1 1 50,31 50,31 50,31 50,31 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-25 1 1 49,66 49,66 49,66 49,66 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-26 1 1 49,56 49,56 49,56 49,56 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-29 1 1 49,33 49,33 49,33 49,33 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-30 1 1 49,78 49,78 49,78 49,78 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-08-31 1 1 50,01 50,01 50,01 50,01 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-01 1 1 50,05 50,05 50,05 50,05 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-02 1 1 49,49 49,49 49,49 49,49 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-05 1 1 49,35 49,35 49,35 49,35 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-06 1 1 49,96 49,96 49,96 49,96 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-07 1 1 49,95 49,95 49,95 49,95 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-08 1 1 50,29 50,29 50,29 50,29 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-09 1 1 50,63 50,63 50,63 50,63 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-12 1 1 51,04 51,04 51,04 51,04 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-13 1 1 50,82 50,82 50,82 50,82 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-14 1 1 50,93 50,93 50,93 50,93 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-15 1 1 51,31 51,31 51,31 51,31 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-16 1 1 51,21 51,21 51,21 51,21 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-19 1 1 51,71 51,71 51,71 51,71 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-20 1 1 51,7 51,7 51,7 51,7 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-21 1 1 51,05 51,05 51,05 51,05 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-22 1 1 50,68 50,68 50,68 50,68 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-23 1 1 51,11 51,11 51,11 51,11 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-26 1 1 51,95 51,95 51,95 51,95 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-27 1 1 51,91 51,91 51,91 51,91 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-28 1 1 52,12 52,12 52,12 52,12 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-29 1 1 51,88 51,88 51,88 51,88 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-09-30 1 1 51,99 51,99 51,99 51,99 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-03 1 1 52,19 52,19 52,19 52,19 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-04 1 1 52,27 52,27 52,27 52,27 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-05 1 1 51,8 51,8 51,8 51,8 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-06 1 1 50,57 50,57 50,57 50,57 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-07 1 1 50,55 50,55 50,55 50,55 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-10 1 1 50,51 50,51 50,51 50,51 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-11 1 1 51,03 51,03 51,03 51,03 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-12 1 1 51,1 51,1 51,1 51,1 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-13 1 1 50,51 50,51 50,51 50,51 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-14 1 1 50,74 50,74 50,74 50,74 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-17 1 1 50,97 50,97 50,97 50,97 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-18 1 1 51,07 51,07 51,07 51,07 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-19 1 1 50,74 50,74 50,74 50,74 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-20 1 1 51,21 51,21 51,21 51,21 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-21 1 1 50,59 50,59 50,59 50,59 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-24 1 1 51,51 51,51 51,51 51,51 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-25 1 1 51,86 51,86 51,86 51,86 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-26 1 1 51,36 51,36 51,36 51,36 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-27 1 1 51,19 51,19 51,19 51,19 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-28 1 1 50,87 50,87 50,87 50,87 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-10-31 1 1 52,2 52,2 52,2 52,2 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-01 1 1 52,57 52,57 52,57 52,57 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-02 1 1 52,76 52,76 52,76 52,76 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-03 1 1 53,73 53,73 53,73 53,73 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-04 1 1 53,69 53,69 53,69 53,69 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-07 1 1 54,2 54,2 54,2 54,2 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-08 1 1 54,13 54,13 54,13 54,13 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-09 1 1 53,83 53,83 53,83 53,83 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-10 1 1 54,27 54,27 54,27 54,27 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-11 1 1 54,96 54,96 54,96 54,96 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-14 1 1 54,39 54,39 54,39 54,39 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-15 1 1 54,37 54,37 54,37 54,37 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-16 1 1 54,55 54,55 54,55 54,55 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-17 1 1 55,19 55,19 55,19 55,19 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-18 1 1 55,36 55,36 55,36 55,36 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-21 1 1 54,71 54,71 54,71 54,71 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-22 1 1 55,08 55,08 55,08 55,08 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-23 1 1 54,93 54,93 54,93 54,93 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-25 1 1 55,23 55,23 55,23 55,23 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-28 1 1 55,18 55,18 55,18 55,18 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-29 1 1 54,75 54,75 54,75 54,75 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-11-30 1 1 54,97 54,97 54,97 54,97 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-01 1 1 55,27 55,27 55,27 55,27 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-02 1 1 55,64 55,64 55,64 55,64 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-05 1 1 55,3 55,3 55,3 55,3 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-06 1 1 55,05 55,05 55,05 55,05 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-07 1 1 55,31 55,31 55,31 55,31 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-08 1 1 54,8 54,8 54,8 54,8 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-12 1 1 55,2 55,2 55,2 55,2 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-13 1 1 55,04 55,04 55,04 55,04 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-14 1 1 54,97 54,97 54,97 54,97 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-15 1 1 55,04 55,04 55,04 55,04 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-16 1 1 55,49 55,49 55,49 55,49 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-19 1 1 55,12 55,12 55,12 55,12 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-20 1 1 54,9 54,9 54,9 54,9 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-21 1 1 55,8 55,8 55,8 55,8 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-22 1 1 55,94 55,94 55,94 55,94 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-23 1 1 55,93 55,93 55,93 55,93 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-27 1 1 56,37 56,37 56,37 56,37 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-28 1 1 55,57 55,57 55,57 55,57 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-29 1 1 55,7 55,7 55,7 55,7 505057 Banco Fonder AB ABN AMRO Pension Offensiv SEK 2005-12-30 1 1 55,48 55,48 55,48 55,48 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-03 1 1 174,11 174,11 174,11 174,11 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-04 1 1 174,35 174,35 174,35 174,35 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-05 1 1 174,26 174,26 174,26 174,26 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-07 1 1 175,39 175,39 175,39 175,39 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-10 1 1 176,94 176,94 176,94 176,94 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-11 1 1 176,81 176,81 176,81 176,81 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-12 1 1 175,76 175,76 175,76 175,76 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-13 1 1 175,27 175,27 175,27 175,27 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-14 1 1 179,58 179,58 179,58 179,58 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-17 1 1 180,09 180,09 180,09 180,09 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-18 1 1 179,08 179,08 179,08 179,08 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-19 1 1 177,36 177,36 177,36 177,36 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-20 1 1 176,88 176,88 176,88 176,88 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-21 1 1 178,16 178,16 178,16 178,16 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-24 1 1 179,32 179,32 179,32 179,32 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-25 1 1 182,19 182,19 182,19 182,19 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-26 1 1 182,92 182,92 182,92 182,92 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-27 1 1 183,58 183,58 183,58 183,58 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-28 1 1 188,33 188,33 188,33 188,33 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-01-31 1 1 192,2 192,2 192,2 192,2 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-01 1 1 192,55 192,55 192,55 192,55 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-02 1 1 195,03 195,03 195,03 195,03 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-03 1 1 196,04 196,04 196,04 196,04 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-04 1 1 197,25 197,25 197,25 197,25 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-07 1 1 199,75 199,75 199,75 199,75 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-08 1 1 200,57 200,57 200,57 200,57 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-09 1 1 200 200 200 200 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-10 1 1 198,5 198,5 198,5 198,5 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-11 1 1 198,04 198,04 198,04 198,04 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-14 1 1 198,09 198,09 198,09 198,09 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-15 1 1 198,45 198,45 198,45 198,45 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-16 1 1 198,5 198,5 198,5 198,5 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-17 1 1 200,19 200,19 200,19 200,19 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-18 1 1 200,72 200,72 200,72 200,72 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-21 1 1 202,12 202,12 202,12 202,12 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-22 1 1 199,8 199,8 199,8 199,8 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-23 1 1 199,52 199,52 199,52 199,52 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-24 1 1 201,86 201,86 201,86 201,86 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-25 1 1 207,54 207,54 207,54 207,54 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-02-28 1 1 209,14 209,14 209,14 209,14 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-01 1 1 209,91 209,91 209,91 209,91 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-02 1 1 207,42 207,42 207,42 207,42 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-03 1 1 208,25 208,25 208,25 208,25 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-04 1 1 208,89 208,89 208,89 208,89 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-07 1 1 209,16 209,16 209,16 209,16 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-08 1 1 208,62 208,62 208,62 208,62 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-09 1 1 206,23 206,23 206,23 206,23 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-10 1 1 203,35 203,35 203,35 203,35 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-11 1 1 204,15 204,15 204,15 204,15 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-14 1 1 202,38 202,38 202,38 202,38 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-15 1 1 203,27 203,27 203,27 203,27 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-16 1 1 197,21 197,21 197,21 197,21 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-17 1 1 196,68 196,68 196,68 196,68 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-18 1 1 197,15 197,15 197,15 197,15 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-21 1 1 196,63 196,63 196,63 196,63 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-22 1 1 198,65 198,65 198,65 198,65 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-23 1 1 196,75 196,75 196,75 196,75 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-24 1 1 202,01 202,01 202,01 202,01 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-29 1 1 202,14 202,14 202,14 202,14 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-30 1 1 198,4 198,4 198,4 198,4 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-03-31 1 1 200,56 200,56 200,56 200,56 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-01 1 1 203,26 203,26 203,26 203,26 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-04 1 1 205,46 205,46 205,46 205,46 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-05 1 1 207,57 207,57 207,57 207,57 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-06 1 1 211,74 211,74 211,74 211,74 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-07 1 1 211,26 211,26 211,26 211,26 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-08 1 1 216,07 216,07 216,07 216,07 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-11 1 1 209,28 209,28 209,28 209,28 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-12 1 1 207,34 207,34 207,34 207,34 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-13 1 1 208,89 208,89 208,89 208,89 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-14 1 1 206,77 206,77 206,77 206,77 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-15 1 1 206,81 206,81 206,81 206,81 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-18 1 1 200,35 200,35 200,35 200,35 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-19 1 1 201,58 201,58 201,58 201,58 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-20 1 1 201,23 201,23 201,23 201,23 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-21 1 1 201,68 201,68 201,68 201,68 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-22 1 1 202,36 202,36 202,36 202,36 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-25 1 1 202,59 202,59 202,59 202,59 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-26 1 1 201,64 201,64 201,64 201,64 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-27 1 1 199,75 199,75 199,75 199,75 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-28 1 1 198,38 198,38 198,38 198,38 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-04-29 1 1 198,27 198,27 198,27 198,27 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-02 1 1 199,61 199,61 199,61 199,61 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-03 1 1 200,35 200,35 200,35 200,35 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-04 1 1 198,42 198,42 198,42 198,42 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-06 1 1 198,94 198,94 198,94 198,94 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-09 1 1 200,83 200,83 200,83 200,83 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-10 1 1 201,1 201,1 201,1 201,1 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-11 1 1 197,29 197,29 197,29 197,29 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-12 1 1 196,81 196,81 196,81 196,81 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-13 1 1 195,5 195,5 195,5 195,5 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-16 1 1 194,88 194,88 194,88 194,88 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-17 1 1 195,7 195,7 195,7 195,7 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-18 1 1 198,76 198,76 198,76 198,76 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-19 1 1 197,9 197,9 197,9 197,9 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-20 1 1 199,56 199,56 199,56 199,56 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-23 1 1 200,55 200,55 200,55 200,55 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-24 1 1 205,66 205,66 205,66 205,66 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-25 1 1 204,85 204,85 204,85 204,85 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-26 1 1 205,29 205,29 205,29 205,29 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-27 1 1 206,07 206,07 206,07 206,07 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-30 1 1 205,99 205,99 205,99 205,99 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-05-31 1 1 210,54 210,54 210,54 210,54 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-01 1 1 208,96 208,96 208,96 208,96 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-02 1 1 211,37 211,37 211,37 211,37 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-03 1 1 210,61 210,61 210,61 210,61 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-07 1 1 208,98 208,98 208,98 208,98 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-08 1 1 208,93 208,93 208,93 208,93 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-09 1 1 210,9 210,9 210,9 210,9 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-10 1 1 211,67 211,67 211,67 211,67 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-13 1 1 214,71 214,71 214,71 214,71 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-14 1 1 217,85 217,85 217,85 217,85 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-15 1 1 218,13 218,13 218,13 218,13 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-16 1 1 217,43 217,43 217,43 217,43 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-17 1 1 217,82 217,82 217,82 217,82 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-20 1 1 216,11 216,11 216,11 216,11 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-21 1 1 218,59 218,59 218,59 218,59 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-22 1 1 219,25 219,25 219,25 219,25 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-23 1 1 224,58 224,58 224,58 224,58 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-27 1 1 223,38 223,38 223,38 223,38 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-28 1 1 224,16 224,16 224,16 224,16 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-29 1 1 226,33 226,33 226,33 226,33 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-06-30 1 1 228,4 228,4 228,4 228,4 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-01 1 1 232,34 232,34 232,34 232,34 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-04 1 1 235,71 235,71 235,71 235,71 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-05 1 1 235,41 235,41 235,41 235,41 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-06 1 1 239,88 239,88 239,88 239,88 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-07 1 1 238,77 238,77 238,77 238,77 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-08 1 1 243,43 243,43 243,43 243,43 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-11 1 1 243,49 243,49 243,49 243,49 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-12 1 1 239,84 239,84 239,84 239,84 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-13 1 1 239,55 239,55 239,55 239,55 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-14 1 1 240,39 240,39 240,39 240,39 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-15 1 1 237,3 237,3 237,3 237,3 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-18 1 1 236,87 236,87 236,87 236,87 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-19 1 1 240,65 240,65 240,65 240,65 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-20 1 1 242,04 242,04 242,04 242,04 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-21 1 1 240,35 240,35 240,35 240,35 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-22 1 1 243,68 243,68 243,68 243,68 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-25 1 1 247,33 247,33 247,33 247,33 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-26 1 1 245,21 245,21 245,21 245,21 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-27 1 1 248,31 248,31 248,31 248,31 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-28 1 1 250,56 250,56 250,56 250,56 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-07-29 1 1 247,66 247,66 247,66 247,66 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-01 1 1 247,47 247,47 247,47 247,47 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-02 1 1 249,71 249,71 249,71 249,71 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-03 1 1 249,38 249,38 249,38 249,38 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-04 1 1 248,53 248,53 248,53 248,53 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-05 1 1 249,14 249,14 249,14 249,14 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-08 1 1 251,81 251,81 251,81 251,81 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-09 1 1 251,76 251,76 251,76 251,76 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-10 1 1 253,23 253,23 253,23 253,23 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-11 1 1 249,06 249,06 249,06 249,06 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-12 1 1 246,84 246,84 246,84 246,84 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-15 1 1 249,7 249,7 249,7 249,7 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-16 1 1 256,02 256,02 256,02 256,02 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-17 1 1 260,85 260,85 260,85 260,85 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-18 1 1 259,69 259,69 259,69 259,69 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-19 1 1 266,88 266,88 266,88 266,88 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-22 1 1 267,21 267,21 267,21 267,21 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-23 1 1 267,66 267,66 267,66 267,66 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-24 1 1 268,04 268,04 268,04 268,04 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-25 1 1 266,06 266,06 266,06 266,06 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-26 1 1 267,67 267,67 267,67 267,67 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-29 1 1 267,19 267,19 267,19 267,19 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-30 1 1 271,24 271,24 271,24 271,24 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-08-31 1 1 272,16 272,16 272,16 272,16 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-01 1 1 271,72 271,72 271,72 271,72 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-02 1 1 271,87 271,87 271,87 271,87 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-05 1 1 273,37 273,37 273,37 273,37 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-06 1 1 270,27 270,27 270,27 270,27 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-07 1 1 264,96 264,96 264,96 264,96 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-08 1 1 270,36 270,36 270,36 270,36 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-09 1 1 276,66 276,66 276,66 276,66 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-12 1 1 278,29 278,29 278,29 278,29 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-13 1 1 277,35 277,35 277,35 277,35 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-14 1 1 276,51 276,51 276,51 276,51 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-15 1 1 281,54 281,54 281,54 281,54 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-16 1 1 284,82 284,82 284,82 284,82 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-19 1 1 293,04 293,04 293,04 293,04 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-20 1 1 292,85 292,85 292,85 292,85 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-21 1 1 294,77 294,77 294,77 294,77 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-22 1 1 300,24 300,24 300,24 300,24 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-23 1 1 302,28 302,28 302,28 302,28 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-26 1 1 302,73 302,73 302,73 302,73 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-27 1 1 312,83 312,83 312,83 312,83 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-28 1 1 315,12 315,12 315,12 315,12 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-29 1 1 315,26 315,26 315,26 315,26 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-09-30 1 1 319,38 319,38 319,38 319,38 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-03 1 1 324,44 324,44 324,44 324,44 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-04 1 1 331,04 331,04 331,04 331,04 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-05 1 1 321,71 321,71 321,71 321,71 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-06 1 1 299,43 299,43 299,43 299,43 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-07 1 1 300,08 300,08 300,08 300,08 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-10 1 1 303,22 303,22 303,22 303,22 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-11 1 1 311,8 311,8 311,8 311,8 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-12 1 1 306,28 306,28 306,28 306,28 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-13 1 1 295,06 295,06 295,06 295,06 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-14 1 1 291,71 291,71 291,71 291,71 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-17 1 1 290,24 290,24 290,24 290,24 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-18 1 1 295,14 295,14 295,14 295,14 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-19 1 1 287,33 287,33 287,33 287,33 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-20 1 1 287,84 287,84 287,84 287,84 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-21 1 1 284,14 284,14 284,14 284,14 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-24 1 1 296,99 296,99 296,99 296,99 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-25 1 1 294,46 294,46 294,46 294,46 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-26 1 1 290,65 290,65 290,65 290,65 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-27 1 1 288,86 288,86 288,86 288,86 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-28 1 1 289,96 289,96 289,96 289,96 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-10-31 1 1 298,31 298,31 298,31 298,31 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-01 1 1 303,06 303,06 303,06 303,06 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-02 1 1 307,45 307,45 307,45 307,45 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-03 1 1 313,84 313,84 313,84 313,84 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-07 1 1 316,66 316,66 316,66 316,66 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-08 1 1 318,38 318,38 318,38 318,38 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-09 1 1 320,86 320,86 320,86 320,86 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-10 1 1 320,99 320,99 320,99 320,99 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-11 1 1 319,23 319,23 319,23 319,23 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-14 1 1 320,16 320,16 320,16 320,16 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-15 1 1 321,59 321,59 321,59 321,59 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-16 1 1 320,4 320,4 320,4 320,4 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-17 1 1 331,83 331,83 331,83 331,83 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-18 1 1 329,87 329,87 329,87 329,87 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-21 1 1 328,45 328,45 328,45 328,45 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-22 1 1 327,73 327,73 327,73 327,73 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-23 1 1 323,4 323,4 323,4 323,4 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-24 1 1 324,19 324,19 324,19 324,19 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-25 1 1 327,55 327,55 327,55 327,55 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-28 1 1 333,68 333,68 333,68 333,68 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-29 1 1 327 327 327 327 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-11-30 1 1 329,88 329,88 329,88 329,88 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-01 1 1 335,33 335,33 335,33 335,33 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-02 1 1 338,77 338,77 338,77 338,77 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-05 1 1 337,36 337,36 337,36 337,36 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-06 1 1 334,99 334,99 334,99 334,99 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-07 1 1 338,43 338,43 338,43 338,43 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-08 1 1 335,97 335,97 335,97 335,97 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-12 1 1 339,25 339,25 339,25 339,25 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-13 1 1 336,31 336,31 336,31 336,31 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-14 1 1 335,55 335,55 335,55 335,55 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-15 1 1 336,58 336,58 336,58 336,58 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-16 1 1 337,36 337,36 337,36 337,36 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-19 1 1 337,95 337,95 337,95 337,95 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-20 1 1 336,65 336,65 336,65 336,65 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-21 1 1 342,1 342,1 342,1 342,1 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-22 1 1 347,05 347,05 347,05 347,05 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-23 1 1 346,79 346,79 346,79 346,79 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-27 1 1 348,79 348,79 348,79 348,79 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-28 1 1 342,6 342,6 342,6 342,6 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-29 1 1 345,37 345,37 345,37 345,37 671982 Banco Fonder AB ABN AMRO Ryssland SEK 2005-12-30 1 1 347,57 347,57 347,57 347,57 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-04 6,728 6,718 75,7905 75,7905 509,918484 509,160579 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-05 6,828 6,818 75,2817 75,2817 514,0234476 513,2706306 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-07 6,87 6,86 75,2703 75,2703 517,106961 516,354258 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-10 6,96091 6,95091 75,5506 75,5506 525,900927046 525,145421046 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-11 6,96091 6,95091 75,2111 75,2111 523,537698101 522,785587101 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-12 6,913 6,903 75,5443 75,5443 522,2377459 521,4823029 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-13 6,843 6,833 74,8647 74,8647 512,2991421 511,5504951 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-14 6,915 6,905 75,4474 75,4474 521,718771 520,964297 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-17 6,915 6,905 75,4455 75,4455 521,7056325 520,9511775 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-18 6,968 6,958 76,2 76,2 530,9616 530,1996 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-19 6,91 6,9 75,4289 75,4289 521,213699 520,45941 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-20 6,96 6,95 74,8007 74,8007 520,612872 519,864865 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-21 6,978 6,968 74,1779 74,1779 517,6133862 516,8716072 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-24 6,933 6,923 73,7708 73,7708 511,4529564 510,7152484 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-25 6,95 6,94 73,9903 73,9903 514,232585 513,492682 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-26 6,995 6,985 74,3497 74,3497 520,0761515 519,3326545 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-27 6,93 6,92 74,4692 74,4692 516,071556 515,326864 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-28 6,985 6,975 74,2001 74,2001 518,2876985 517,5456975 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-01-31 6,998 6,988 74,8064 74,8064 523,4951872 522,7471232 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-01 6,993 6,983 75,2682 75,2682 526,3505226 525,5978406 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-02 6,953 6,943 75,4906 75,4906 524,8861418 524,1312358 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-03 6,968 6,958 75,3852 75,3852 525,2840736 524,5302216 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-04 7,01 7 76,1741 76,1741 533,980441 533,2187 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-07 7,065 7,055 75,9869 75,9869 536,8474485 536,0875795 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-08 7,123 7,113 76,0863 76,0863 541,9627149 541,2018519 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-09 7,1 7,09 75,2409 75,2409 534,21039 533,457981 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-10 7,088 7,078 75,3833 75,3833 534,3168304 533,5629974 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-11 7,068 7,058 75,929 75,929 536,666172 535,906882 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-14 7,03 7,02 75,9636 75,9636 534,024108 533,264472 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-15 7,005 6,995 76,177 76,177 533,619885 532,858115 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-16 6,973 6,963 76,2578 76,2578 531,7456394 530,9830614 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-17 6,97 6,96 75,8559 75,8559 528,715623 527,957064 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-18 6,965 6,955 75,9368 75,9368 528,899812 528,140444 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-21 6,978 6,968 75,9591 75,9591 530,0425998 529,2830088 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-22 6,905 6,895 74,776 74,776 516,32828 515,58052 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-23 6,895 6,885 75,351 75,351 519,545145 518,791635 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-24 6,858 6,848 75,9735 75,9735 521,026263 520,266528 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-25 6,885 6,875 76,6982 76,6982 528,067107 527,300125 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-02-28 6,828 6,818 76,1917 76,1917 520,2369276 519,4750106 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-01 6,87 6,86 76,6423 76,6423 526,532601 525,766178 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-02 6,888 6,878 76,7626 76,7626 528,7407888 527,9731628 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-03 6,903 6,893 76,6005 76,6005 528,7732515 528,0072465 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-04 6,9 6,89 77,3036 77,3036 533,39484 532,621804 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-07 6,84 6,83 77,5219 77,5219 530,249796 529,474577 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-08 6,825 6,815 77,1313 77,1313 526,4211225 525,6498095 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-09 6,76 6,75 76,3618 76,3618 516,205768 515,44215 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-10 6,745 6,735 76,3629 76,3629 515,0677605 514,3041315 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-11 6,765 6,755 75,8101 75,8101 512,8553265 512,0972255 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-14 6,76 6,75 76,4546 76,4546 516,833096 516,06855 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-15 6,815 6,805 75,8026 75,8026 516,594719 515,836693 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-16 6,81 6,8 75,3054 75,3054 512,829774 512,07672 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-18 6,828 6,818 75,492 75,492 515,459376 514,704456 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-21 6,908 6,898 75,0761 75,0761 518,6256988 517,8749378 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-22 6,928 6,918 74,3598 74,3598 515,1646944 514,4210964 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-23 6,973 6,963 74,4419 74,4419 519,0833687 518,3389497 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-24 7,008 6,998 74,4453 74,4453 521,7126624 520,9682094 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-29 7,055 7,045 73,9057 73,9057 521,4047135 520,6656565 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-30 7,053 7,043 74,95 74,95 528,62235 527,87285 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-03-31 7,065 7,055 74,974 74,974 529,69131 528,94157 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-04-01 7,07 7,06 74,4157 74,4157 526,118999 525,374842 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-04-04 7,113 7,103 74,5836 74,5836 530,5131468 529,7673108 304659 AIG Global 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2005-09-23 7,733 7,723 78,3022 78,3022 605,5109126 604,7278906 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-09-26 7,798 7,788 78,3618 78,3618 611,0653164 610,2816984 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-09-27 7,825 7,815 78,3842 78,3842 613,356365 612,572523 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-09-28 7,81 7,8 78,5205 78,5205 613,245105 612,4599 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-09-29 7,785 7,775 79,029 79,029 615,240765 614,450475 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-09-30 7,785 7,775 79,2422 79,2422 616,900527 616,108105 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-03 7,783 7,773 78,9536 78,9536 614,4958688 613,7063328 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-04 7,82 7,81 78,4982 78,4982 613,855924 613,070942 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-05 7,795 7,785 77,5197 77,5197 604,2660615 603,4908645 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-06 7,713 7,703 77,4077 77,4077 597,0455901 596,2715131 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-07 7,683 7,673 77,5932 77,5932 596,1485556 595,3726236 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-10 7,698 7,688 77,0245 77,0245 592,934601 592,164356 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-11 7,77 7,76 76,839 76,839 597,03903 596,27064 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-12 7,805 7,795 76,2778 76,2778 595,348229 594,585451 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-13 7,83 7,82 76,3154 76,3154 597,549582 596,786428 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-14 7,833 7,823 76,9645 76,9645 602,8629285 602,0932835 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-17 7,835 7,825 77,1842 77,1842 604,738207 603,966365 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-18 7,893 7,883 76,4372 76,4372 603,3188196 602,5544476 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-19 7,96 7,95 77,3527 77,3527 615,727492 614,953965 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-20 7,93 7,92 76,0894 76,0894 603,388942 602,628048 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-21 7,883 7,873 76,4681 76,4681 602,7980323 602,0333513 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-24 7,995 7,985 77,6346 77,6346 620,688627 619,912281 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-25 7,99 7,98 77,5575 77,5575 619,684425 618,90885 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-26 7,868 7,858 77,2355 77,2355 607,688914 606,916559 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-27 7,868 7,858 76,5395 76,5395 602,212786 601,447391 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-10-28 7,825 7,815 77,6022 77,6022 607,237215 606,461193 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-01 7,963 7,953 77,7906 77,7906 619,4465478 618,6686418 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-02 7,98 7,97 78,7145 78,7145 628,14171 627,354565 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-03 8,01 8 79,3269 79,3269 635,408469 634,6152 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-04 8,028 8,018 79,4691 79,4691 637,9779348 637,1832438 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-07 8,135 8,125 79,6393 79,6393 647,8657055 647,0693125 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-08 8,17 8,16 79,4508 79,4508 649,113036 648,318528 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-09 8,12 8,11 79,6475 79,6475 646,7377 645,941225 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-10 8,173 8,163 80,4521 80,4521 657,5350133 656,7304923 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-11 8,235 8,225 80,6032 80,6032 663,767352 662,96132 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-14 8,133 8,123 80,5582 80,5582 655,1798406 654,3742586 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-15 8,185 8,175 80,1624 80,1624 656,129244 655,32762 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-16 8,21 8,2 80,4559 80,4559 660,542939 659,73838 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-17 8,258 8,248 81,0893 81,0893 669,6354394 668,8245464 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-18 8,223 8,213 81,4892 81,4892 670,0856916 669,2707996 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-21 8,123 8,113 81,7066 81,7066 663,7027118 662,8856458 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-22 8,15 8,14 82,0402 82,0402 668,62763 667,807228 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-23 8,048 8,038 82,4084 82,4084 663,2228032 662,3987192 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-24 8,053 8,043 82,4053 82,4053 663,6098809 662,7858279 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-25 8,078 8,068 82,5491 82,5491 666,8316298 666,0061388 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-28 8,118 8,108 81,9067 81,9067 664,9185906 664,0995236 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-29 8,015 8,005 81,7951 81,7951 655,5877265 654,7697755 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-11-30 8,088 8,078 81,3007 81,3007 657,5600616 656,7470546 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-01 8,083 8,073 82,346 82,346 665,602718 664,779258 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-02 8,103 8,093 82,3043 82,3043 666,9117429 666,0886999 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-05 8,045 8,035 82,2074 82,2074 661,358533 660,536459 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-06 7,993 7,983 82,1403 82,1403 656,5474179 655,7260149 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-07 8,015 8,005 81,7141 81,7141 654,9385115 654,1213705 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-08 7,988 7,978 81,5386 81,5386 651,3303368 650,5149508 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-12 7,953 7,943 81,8849 81,8849 651,2306097 650,4117607 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-13 7,905 7,895 82,1494 82,1494 649,391007 648,569513 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-14 7,848 7,838 82,3797 82,3797 646,5158856 645,6920886 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-15 7,858 7,848 82,3056 82,3056 646,7574048 645,9343488 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-16 7,903 7,893 82,1053 82,1053 648,8781859 648,0571329 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-19 7,865 7,855 81,6727 81,6727 642,3557855 641,5390585 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-20 7,848 7,838 81,6621 81,6621 640,8841608 640,0675398 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-21 7,948 7,938 81,8695 81,8695 650,698786 649,880091 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-22 7,98 7,97 82,2848 82,2848 656,632704 655,809856 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-23 7,955 7,945 81,5795 81,5795 648,9649225 648,1491275 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-29 7,938 7,928 81,3999 81,3999 646,1524062 645,3384072 304659 AIG Global Investment Fund Management Limited AIG American Equity Fund USD 2005-12-30 7,958 7,948 81,0403 81,0403 644,9187074 644,1083044 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-04 6,728 6,718 235,4221 235,4221 1583,9198888 1581,5656678 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-05 6,828 6,818 231,7636 231,7636 1582,4818608 1580,1642248 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-07 6,87 6,86 230,3224 230,3224 1582,314888 1580,011664 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-10 6,96091 6,95091 231,472 231,472 1611,25575952 1608,94103952 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-11 6,96091 6,95091 234,4533 234,4533 1632,008320503 1629,663787503 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-12 6,913 6,903 237,6762 237,6762 1643,0555706 1640,6788086 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-13 6,843 6,833 236,4354 236,4354 1617,9274422 1615,5630882 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-14 6,915 6,905 237,2578 237,2578 1640,637687 1638,265109 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-17 6,915 6,905 239,4386 239,4386 1655,717919 1653,323533 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-18 6,968 6,958 236,1756 236,1756 1645,6715808 1643,3098248 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-19 6,91 6,9 236,144 236,144 1631,75504 1629,3936 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-20 6,96 6,95 234,5416 234,5416 1632,409536 1630,06412 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-21 6,978 6,968 235,1867 235,1867 1641,1327926 1638,7809256 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-24 6,933 6,923 236,1864 236,1864 1637,4803112 1635,1184472 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-25 6,95 6,94 238,4452 238,4452 1657,19414 1654,809688 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-26 6,995 6,985 240,0551 240,0551 1679,1854245 1676,7848735 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-27 6,93 6,92 240,9012 240,9012 1669,445316 1667,036304 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-28 6,985 6,975 243,3895 243,3895 1700,0756575 1697,6417625 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-01-31 6,998 6,988 244,8164 244,8164 1713,2251672 1710,7770032 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-01 6,993 6,983 246,7351 246,7351 1725,4185543 1722,9512033 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-02 6,953 6,943 247,9542 247,9542 1724,0255526 1721,5460106 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-03 6,968 6,958 248,8074 248,8074 1733,6899632 1731,2018892 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-04 7,01 7 251,1263 251,1263 1760,395363 1757,8841 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-07 7,065 7,055 252,2958 252,2958 1782,469827 1779,946869 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-08 7,123 7,113 252,0366 252,0366 1795,2567018 1792,7363358 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-09 7,1 7,09 250,0892 250,0892 1775,63332 1773,132428 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-10 7,088 7,078 250,9422 250,9422 1778,6783136 1776,1688916 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-11 7,068 7,058 251,585 251,585 1778,20278 1775,68693 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-14 7,03 7,02 254,8852 254,8852 1791,842956 1789,294104 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-15 7,005 6,995 257,6092 257,6092 1804,552446 1801,976354 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-16 6,973 6,963 259,4068 259,4068 1808,8436164 1806,2495484 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-17 6,97 6,96 261,098 261,098 1819,85306 1817,24208 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-18 6,965 6,955 261,8393 261,8393 1823,7107245 1821,0923315 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-21 6,978 6,968 262,9983 262,9983 1835,2021374 1832,5721544 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-22 6,905 6,895 265,0455 265,0455 1830,1391775 1827,4887225 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-23 6,895 6,885 265,5373 265,5373 1830,8796835 1828,2243105 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-24 6,858 6,848 269,1814 269,1814 1846,0460412 1843,3542272 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-25 6,885 6,875 276,2474 276,2474 1901,963349 1899,200875 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-02-28 6,828 6,818 280,2093 280,2093 1913,2691004 1910,4670074 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-01 6,87 6,86 277,461 277,461 1906,15707 1903,38246 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-02 6,888 6,878 269,6313 269,6313 1857,2203944 1854,5240814 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-03 6,903 6,893 269,664 269,664 1861,490592 1858,793952 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-04 6,9 6,89 275,2521 275,2521 1899,23949 1896,486969 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-07 6,84 6,83 278,6033 278,6033 1905,646572 1902,860539 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-08 6,825 6,815 278,8358 278,8358 1903,054335 1900,265977 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-09 6,76 6,75 279,8031 279,8031 1891,468956 1888,670925 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-10 6,745 6,735 274,7004 274,7004 1852,854198 1850,107194 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-11 6,765 6,755 275,223 275,223 1861,883595 1859,131365 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-14 6,76 6,75 267,5415 267,5415 1808,58054 1805,905125 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-15 6,815 6,805 265,0742 265,0742 1806,480673 1803,829931 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-16 6,81 6,8 254,2937 254,2937 1731,740097 1729,19716 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-18 6,828 6,818 254,9428 254,9428 1740,7494384 1738,2000104 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-21 6,908 6,898 247,4635 247,4635 1709,477858 1707,003223 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-22 6,928 6,918 254,0543 254,0543 1760,0881904 1757,5476474 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-23 6,973 6,963 245,5109 245,5109 1711,9475057 1709,4923967 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-24 7,008 6,998 250,161 250,161 1753,128288 1750,626678 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-29 7,055 7,045 246,6327 246,6327 1739,9936985 1737,5273715 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-30 7,053 7,043 247,3832 247,3832 1744,7937096 1742,3198776 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-03-31 7,065 7,055 253,3456 253,3456 1789,886664 1787,353208 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-01 7,07 7,06 255,4477 255,4477 1806,015239 1803,460762 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-04 7,113 7,103 253,2984 253,2984 1801,7115192 1799,1785352 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-05 7,163 7,153 256,0987 256,0987 1834,4349881 1831,8740011 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-06 7,125 7,115 260,9305 260,9305 1859,1298125 1856,5205075 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-07 7,083 7,073 262,0082 262,0082 1855,8040806 1853,1839986 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-08 7,153 7,143 262,2381 262,2381 1875,7891293 1873,1667483 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-11 7,098 7,088 259,4178 259,4178 1841,3475444 1838,7533664 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-12 7,048 7,038 258,3012 258,3012 1820,5068576 1817,9238456 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-13 7,075 7,065 260,3637 260,3637 1842,0731775 1839,4695405 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-14 7,12 7,11 253,6434 253,6434 1805,941008 1803,404574 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-15 7,17 7,16 251,0478 251,0478 1800,012726 1797,502248 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-18 7,08 7,07 245,7622 245,7622 1739,996376 1737,538754 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-19 7,068 7,058 247,5428 247,5428 1749,6325104 1747,1570824 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-20 7,043 7,033 248,55 248,55 1750,53765 1748,05215 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-21 7,025 7,015 249,1179 249,1179 1750,0532475 1747,5620685 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-22 7,023 7,013 251,1577 251,1577 1763,8805271 1761,3689501 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-25 7,04 7,03 252,1143 252,1143 1774,884672 1772,363529 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-26 7,035 7,025 250,0671 250,0671 1759,2220485 1756,7213775 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-27 7,085 7,075 244,7329 244,7329 1733,9325965 1731,4852675 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-28 7,085 7,075 238,4073 238,4073 1689,1157205 1686,7316475 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-04-29 7,08 7,07 239,6648 239,6648 1696,826784 1694,430136 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-03 7,178 7,168 241,4328 241,4328 1733,0046384 1730,5903104 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-04 7,11 7,1 243,7027 243,7027 1732,726197 1730,28917 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-06 7,085 7,075 245,3469 245,3469 1738,2827865 1735,8293175 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-09 7,168 7,158 244,9627 244,9627 1755,8926336 1753,4430066 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-10 7,178 7,168 243,1548 243,1548 1745,3651544 1742,9336064 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-11 7,15 7,14 240,7482 240,7482 1721,34963 1718,942148 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-12 7,243 7,233 239,6419 239,6419 1735,7262817 1733,3298627 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-13 7,265 7,255 238,3449 238,3449 1731,5756985 1729,1922495 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-16 7,32 7,31 234,1691 234,1691 1714,117812 1711,776121 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-17 7,313 7,303 237,1037 237,1037 1733,9393581 1731,5683211 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-18 7,3 7,29 242,7038 242,7038 1771,73774 1769,310702 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-19 7,26 7,25 243,6358 243,6358 1768,795908 1766,35955 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-20 7,28 7,27 243,6491 243,6491 1773,765448 1771,328957 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-23 7,32 7,31 241,0494 241,0494 1764,481608 1762,071114 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-24 7,295 7,285 243,6178 243,6178 1777,191851 1774,755673 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-25 7,298 7,288 241,4038 241,4038 1761,7649324 1759,3508944 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-26 7,33 7,32 242,3063 242,3063 1776,105179 1773,682116 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-27 7,338 7,328 245,2956 245,2956 1799,9791128 1797,5261568 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-30 7,338 7,328 245,9449 245,9449 1804,7436762 1802,2842272 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-05-31 7,403 7,393 246,8034 246,8034 1827,0855702 1824,6175362 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-01 7,428 7,418 246,3948 246,3948 1830,2205744 1827,7566264 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-02 7,473 7,463 250,8316 250,8316 1874,4645468 1871,9562308 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-03 7,438 7,428 251,0179 251,0179 1867,0711402 1864,5609612 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-07 7,448 7,438 251,703 251,703 1874,683944 1872,166914 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-08 7,435 7,425 252,6476 252,6476 1878,434906 1875,90843 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-09 7,523 7,513 250,8091 250,8091 1886,8368593 1884,3287683 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-10 7,525 7,515 252,8364 252,8364 1902,59391 1900,065546 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-13 7,643 7,633 252,9365 252,9365 1933,1936695 1930,6643045 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-14 7,663 7,653 254,2306 254,2306 1948,1690878 1945,6267818 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-15 7,693 7,683 256,5474 256,5474 1973,6191482 1971,0536742 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-16 7,678 7,668 258,6637 258,6637 1986,0198886 1983,4332516 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-17 7,643 7,633 260,1012 260,1012 1987,9534716 1985,3524596 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-20 7,543 7,533 260,44 260,44 1964,49892 1961,89452 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-21 7,648 7,638 261,3489 261,3489 1998,7963872 1996,1828982 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-22 7,608 7,598 263,8805 263,8805 2007,602844 2004,964039 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-23 7,73 7,72 263,8123 263,8123 2039,269079 2036,630956 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-27 7,73 7,72 261,0629 261,0629 2018,016217 2015,405588 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-28 7,76 7,75 262,42 262,42 2036,3792 2033,755 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-29 7,833 7,823 262,9879 262,9879 2059,9842207 2057,3543417 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-06-30 7,823 7,813 265,6268 265,6268 2077,9984564 2075,3421884 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-01 7,858 7,848 268,6615 268,6615 2111,142067 2108,455452 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-04 7,945 7,935 269,4297 269,4297 2140,6189665 2137,9246695 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-05 7,963 7,953 267,1461 267,1461 2127,2843943 2124,6129333 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-06 7,895 7,885 271,9189 271,9189 2146,7997155 2144,0805265 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-07 7,878 7,868 269,4671 269,4671 2122,8618138 2120,1671428 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-08 7,913 7,903 273,0652 273,0652 2160,7649276 2158,0342756 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-11 7,89 7,88 273,793 273,793 2160,22677 2157,48884 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-12 7,77 7,76 276,2752 276,2752 2146,658304 2143,895552 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-13 7,703 7,693 278,1819 278,1819 2142,8351757 2140,0533567 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-14 7,76 7,75 278,2856 278,2856 2159,496256 2156,7134 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-15 7,76 7,75 276,4278 276,4278 2145,079728 2142,31545 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-18 7,78 7,77 275,2182 275,2182 2141,197596 2138,445414 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-19 7,878 7,868 277,139 277,139 2183,301042 2180,529652 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-20 7,818 7,808 280,1252 280,1252 2190,0188136 2187,2175616 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-21 7,775 7,765 281,0251 281,0251 2184,9701525 2182,1599015 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-22 7,758 7,748 281,8809 281,8809 2186,8320222 2184,0132132 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-25 7,838 7,828 283,3795 283,3795 2221,128521 2218,294726 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-26 7,818 7,808 281,1814 281,1814 2198,2761852 2195,4643712 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-27 7,905 7,895 285,1136 285,1136 2253,823008 2250,971872 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-28 7,848 7,838 289,6346 289,6346 2273,0523408 2270,1559948 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-07-29 7,748 7,738 291,502 291,502 2258,557496 2255,642476 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-02 7,7 7,69 297,9386 297,9386 2294,12722 2291,147834 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-03 7,685 7,675 297,5225 297,5225 2286,4604125 2283,4851875 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-04 7,618 7,608 300,5476 300,5476 2289,5716168 2286,5661408 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-05 7,548 7,538 300,4673 300,4673 2267,9271804 2264,9225074 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-08 7,558 7,548 303,8356 303,8356 2296,3894648 2293,3511088 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-09 7,548 7,538 303,2624 303,2624 2289,0245952 2285,9919712 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-10 7,558 7,548 303,537 303,537 2294,132646 2291,097276 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-11 7,523 7,513 299,3489 299,3489 2252,0017747 2249,0082857 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-12 7,46 7,45 293,8582 293,8582 2192,182172 2189,24359 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-15 7,508 7,498 294,8523 294,8523 2213,7510684 2210,8025454 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-16 7,523 7,513 299,3931 299,3931 2252,3342913 2249,3403603 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-17 7,605 7,595 297,7961 297,7961 2264,7393405 2261,7613795 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-18 7,61 7,6 295,2241 295,2241 2246,655401 2243,70316 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-19 7,698 7,688 296,2947 296,2947 2280,8766006 2277,9136536 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-22 7,69 7,68 300,7558 300,7558 2312,812102 2309,804544 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-23 7,663 7,653 301,6253 301,6253 2311,3546739 2308,3384209 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-24 7,673 7,663 303,0418 303,0418 2325,2397314 2322,2093134 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-25 7,588 7,578 304,9094 304,9094 2313,6525272 2310,6034332 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-26 7,578 7,568 308,1389 308,1389 2335,0765842 2331,9951952 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-29 7,573 7,563 307,9853 307,9853 2332,3726769 2329,2928239 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-30 7,633 7,623 310,1467 310,1467 2367,3497611 2364,2482941 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-08-31 7,668 7,658 315,6075 315,6075 2420,07831 2416,922235 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-01 7,568 7,558 325,5929 325,5929 2464,0870672 2460,8311382 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-02 7,435 7,425 330,4309 330,4309 2456,7537415 2453,4494325 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-05 7,41 7,4 327,6992 327,6992 2428,251072 2424,97408 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-06 7,485 7,475 324,4902 324,4902 2428,809147 2425,564245 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-07 7,43 7,42 320,5 320,5 2381,315 2378,11 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-08 7,498 7,488 322,6665 322,6665 2419,353417 2416,126752 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-09 7,523 7,513 330,3397 330,3397 2485,1455631 2481,8421661 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-12 7,555 7,545 330,9998 330,9998 2500,703489 2497,393491 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-13 7,57 7,56 328,4041 328,4041 2486,019037 2482,734996 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-14 7,61 7,6 329,1313 329,1313 2504,689193 2501,39788 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-15 7,658 7,648 334,8602 334,8602 2564,3594116 2561,0108096 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-16 7,613 7,603 339,2913 339,2913 2583,0246669 2579,6317539 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-19 7,698 7,688 342,8341 342,8341 2639,1369018 2635,7085608 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-20 7,688 7,678 343,3358 343,3358 2639,5656304 2636,1322724 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-21 7,663 7,653 347,7922 347,7922 2665,1316286 2661,6537066 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-22 7,648 7,638 344,9377 344,9377 2638,0835296 2634,6341526 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-23 7,733 7,723 341,2134 341,2134 2638,6032222 2635,1910882 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-26 7,798 7,788 341,9624 341,9624 2666,6227952 2663,2031712 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-27 7,825 7,815 348,9018 348,9018 2730,156585 2726,667567 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-28 7,81 7,8 346,4254 346,4254 2705,582374 2702,11812 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-29 7,785 7,775 348,3235 348,3235 2711,6984475 2708,2152125 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-09-30 7,785 7,775 351,5795 351,5795 2737,0464075 2733,5306125 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-03 7,783 7,773 357,8881 357,8881 2785,4430823 2781,8642013 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-04 7,82 7,81 363,5432 363,5432 2842,907824 2839,272392 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-05 7,795 7,785 352,4128 352,4128 2747,057776 2743,533648 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-06 7,713 7,703 338,4087 338,4087 2610,1463031 2606,7622161 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-07 7,683 7,673 336,5519 336,5519 2585,7282477 2582,3627287 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-10 7,698 7,688 338,3125 338,3125 2604,329625 2600,9465 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-11 7,77 7,76 345,8818 345,8818 2687,501586 2684,042768 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-12 7,805 7,795 336,3024 336,3024 2624,840232 2621,477208 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-13 7,83 7,82 322,8451 322,8451 2527,877133 2524,648682 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-14 7,833 7,823 316,44 316,44 2478,67452 2475,51012 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-17 7,835 7,825 321,0456 321,0456 2515,392276 2512,18182 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-18 7,893 7,883 318,966 318,966 2517,598638 2514,408978 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-19 7,96 7,95 307,0249 307,0249 2443,918204 2440,847955 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-20 7,93 7,92 310,4706 310,4706 2462,031858 2458,927152 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-21 7,883 7,873 310,521 310,521 2447,837043 2444,731833 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-24 7,995 7,985 314,7626 314,7626 2516,526987 2513,379361 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-25 7,99 7,98 317,1425 317,1425 2533,968575 2530,79715 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-26 7,868 7,858 317,6546 317,6546 2499,3063928 2496,1298468 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-27 7,868 7,858 313,3766 313,3766 2465,6470888 2462,5133228 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-10-28 7,825 7,815 314,5048 314,5048 2461,00006 2457,855012 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-01 7,963 7,953 323,2708 323,2708 2574,2053804 2570,9726724 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-02 7,98 7,97 331,8592 331,8592 2648,236416 2644,917824 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-03 8,01 8 335,6001 335,6001 2688,156801 2684,8008 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-04 8,028 8,018 334,8528 334,8528 2688,1982784 2684,8497504 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-07 8,135 8,125 334,7569 334,7569 2723,2473815 2719,8998125 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-08 8,17 8,16 331,453 331,453 2707,97101 2704,65648 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-09 8,12 8,11 331,9824 331,9824 2695,697088 2692,377264 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-10 8,173 8,163 330,4639 330,4639 2700,8814547 2697,5768157 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-11 8,235 8,225 326,8484 326,8484 2691,596574 2688,32809 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-14 8,133 8,123 330,7236 330,7236 2689,7750388 2686,4678028 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-15 8,185 8,175 328,9257 328,9257 2692,2568545 2688,9675975 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-16 8,21 8,2 331,1057 331,1057 2718,377797 2715,06674 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-17 8,258 8,248 337,7553 337,7553 2789,1832674 2785,8057144 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-18 8,223 8,213 336,6495 336,6495 2768,2688385 2764,9023435 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-21 8,123 8,113 338,631 338,631 2750,699613 2747,313303 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-22 8,15 8,14 336,0246 336,0246 2738,60049 2735,240244 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-23 8,048 8,038 341,2746 341,2746 2746,5779808 2743,1652348 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-24 8,053 8,043 346,5414 346,5414 2790,6978942 2787,2324802 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-25 8,078 8,068 346,9296 346,9296 2802,4973088 2799,0280128 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-28 8,118 8,108 348,3754 348,3754 2828,1114972 2824,6277432 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-29 8,015 8,005 348,7371 348,7371 2795,1278565 2791,6404855 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-11-30 8,088 8,078 350,4992 350,4992 2834,8375296 2831,3325376 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-01 8,083 8,073 353,3249 353,3249 2855,9251667 2852,3919177 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-02 8,103 8,093 357,8504 357,8504 2899,6617912 2896,0832872 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-05 8,045 8,035 359,8526 359,8526 2895,014167 2891,415641 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-06 7,993 7,983 356,9122 356,9122 2852,7992146 2849,2300926 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-07 8,015 8,005 357,0807 357,0807 2862,0018105 2858,4310035 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-08 7,988 7,978 357,454 357,454 2855,342552 2851,768012 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-12 7,953 7,943 360,4476 360,4476 2866,6397628 2863,0352868 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-13 7,905 7,895 358,4803 358,4803 2833,7867715 2830,2019685 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-14 7,848 7,838 361,7141 361,7141 2838,7322568 2835,1151158 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-15 7,858 7,848 359,7084 359,7084 2826,5886072 2822,9915232 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-16 7,903 7,893 360,6616 360,6616 2850,3086248 2846,7020088 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-19 7,865 7,855 361,261 361,261 2841,317765 2837,705155 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-20 7,848 7,838 360,2935 360,2935 2827,583388 2823,980453 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-21 7,948 7,938 361,5507 361,5507 2873,6049636 2869,9894566 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-22 7,98 7,97 364,2805 364,2805 2906,95839 2903,315585 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-23 7,955 7,945 364,4943 364,4943 2899,5521565 2895,9072135 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-29 7,938 7,928 366,8201 366,8201 2911,8179538 2908,1497528 376319 AIG Global Investment Fund Management Limited AIG Emerging Europe Equity Fund USD 2005-12-30 7,958 7,948 365,7098 365,7098 2910,3185884 2906,6614904 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-04 6,728 6,718 505,5047 505,5047 3401,0356216 3395,9805746 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-05 6,828 6,818 502,7113 502,7113 3432,5127564 3427,4856434 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-07 6,87 6,86 501,5657 501,5657 3445,756359 3440,740702 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-10 6,96091 6,95091 502,2492 502,2492 3496,111478772 3491,088986772 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-11 6,96091 6,95091 503,0985 503,0985 3502,023379635 3496,992394635 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-12 6,913 6,903 507,7085 507,7085 3509,7888605 3504,7117755 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-13 6,843 6,833 507,715 507,715 3474,293745 3469,216595 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-14 6,915 6,905 505,2215 505,2215 3493,6066725 3488,5544575 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-17 6,915 6,905 507,6357 507,6357 3510,3008655 3505,2245085 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-18 6,968 6,958 508,8872 508,8872 3545,9260096 3540,8371376 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-19 6,91 6,9 513,6451 513,6451 3549,287641 3544,15119 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-20 6,96 6,95 509,5393 509,5393 3546,393528 3541,298135 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-21 6,978 6,968 512,0636 512,0636 3573,1798008 3568,0591648 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-24 6,933 6,923 510,5315 510,5315 3539,5148895 3534,4095745 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-25 6,95 6,94 510,2591 510,2591 3546,300745 3541,198154 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-26 6,995 6,985 517,6568 517,6568 3621,009316 3615,832748 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-27 6,93 6,92 514,6681 514,6681 3566,649933 3561,503252 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-28 6,985 6,975 512,9069 512,9069 3582,6546965 3577,5256275 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-01-31 6,998 6,988 515,6492 515,6492 3608,5131016 3603,3566096 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-01 6,993 6,983 517,6643 517,6643 3620,0264499 3614,8498069 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-02 6,953 6,943 520,2602 520,2602 3617,3691706 3612,1665686 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-03 6,968 6,958 521,455 521,455 3633,49844 3628,28389 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-04 7,01 7 522,393 522,393 3661,97493 3656,751 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-07 7,065 7,055 520,4946 520,4946 3677,294349 3672,089403 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-08 7,123 7,113 522,9213 522,9213 3724,7684199 3719,5392069 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-09 7,1 7,09 524,7924 524,7924 3726,02604 3720,778116 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-10 7,088 7,078 525,1676 525,1676 3722,3879488 3717,1362728 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-11 7,068 7,058 528,669 528,669 3736,632492 3731,345802 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-14 7,03 7,02 534,3635 534,3635 3756,575405 3751,23177 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-15 7,005 6,995 537,1463 537,1463 3762,7098315 3757,3383685 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-16 6,973 6,963 538,1642 538,1642 3752,6189666 3747,2373246 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-17 6,97 6,96 542,7882 542,7882 3783,233754 3777,805872 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-18 6,965 6,955 540,9252 540,9252 3767,544018 3762,134766 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-21 6,978 6,968 539,4172 539,4172 3764,0532216 3758,6590496 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-22 6,905 6,895 542,576 542,576 3746,48728 3741,06152 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-23 6,895 6,885 539,4118 539,4118 3719,244361 3713,850243 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-24 6,858 6,848 544,084 544,084 3731,328072 3725,887232 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-25 6,885 6,875 549,4897 549,4897 3783,2365845 3777,7416875 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-02-28 6,828 6,818 555,6233 555,6233 3793,7958924 3788,2396594 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-01 6,87 6,86 551,9972 551,9972 3792,220764 3786,700792 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-02 6,888 6,878 549,0116 549,0116 3781,5919008 3776,1017848 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-03 6,903 6,893 546,5792 546,5792 3773,0362176 3767,5704256 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-04 6,9 6,89 554,7001 554,7001 3827,43069 3821,883689 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-07 6,84 6,83 555,7037 555,7037 3801,013308 3795,456271 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-08 6,825 6,815 557,9533 557,9533 3808,0312725 3802,4517395 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-09 6,76 6,75 559,3543 559,3543 3781,235068 3775,641525 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-10 6,745 6,735 555,3272 555,3272 3745,681964 3740,128692 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-11 6,765 6,755 560,6762 560,6762 3792,974493 3787,367731 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-14 6,76 6,75 557,0463 557,0463 3765,632988 3760,062525 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-15 6,815 6,805 557,8119 557,8119 3801,4880985 3795,9099795 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-16 6,81 6,8 558,4853 558,4853 3803,284893 3797,70004 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-18 6,828 6,818 553,7859 553,7859 3781,2501252 3775,7122662 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-21 6,908 6,898 547,236 547,236 3780,306288 3774,833928 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-22 6,928 6,918 549,5472 549,5472 3807,2630016 3801,7675296 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-23 6,973 6,963 537,9957 537,9957 3751,4440161 3746,0640591 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-24 7,008 6,998 536,6309 536,6309 3760,7093472 3755,3430382 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-29 7,055 7,045 535,475 535,475 3777,776125 3772,421375 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-30 7,053 7,043 536,9265 536,9265 3786,9426045 3781,5733395 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-03-31 7,065 7,055 540,4658 540,4658 3818,390877 3812,986219 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-01 7,07 7,06 541,8729 541,8729 3831,041403 3825,622674 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-04 7,113 7,103 538,3084 538,3084 3828,9876492 3823,6045652 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-05 7,163 7,153 541,6529 541,6529 3879,8597227 3874,4431937 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-06 7,125 7,115 544,861 544,861 3882,134625 3876,686015 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-07 7,083 7,073 550,2457 550,2457 3897,3902931 3891,8878361 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-08 7,153 7,143 551,8737 551,8737 3947,5525761 3942,0338391 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-11 7,098 7,088 555,3124 555,3124 3941,6074152 3936,0542912 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-12 7,048 7,038 552,3602 552,3602 3893,0346896 3887,5110876 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-13 7,075 7,065 557,8217 557,8217 3946,5885275 3941,0103105 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-14 7,12 7,11 552,0758 552,0758 3930,779696 3925,258938 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-15 7,17 7,16 546,915 546,915 3921,38055 3915,9114 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-18 7,08 7,07 539,4195 539,4195 3819,09006 3813,695865 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-19 7,068 7,058 542,8781 542,8781 3837,0624108 3831,6336298 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-20 7,043 7,033 546,4695 546,4695 3848,7846885 3843,3199935 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-21 7,025 7,015 544,3741 544,3741 3824,2280525 3818,7843115 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-22 7,023 7,013 546,2152 546,2152 3836,0693496 3830,6071976 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-25 7,04 7,03 542,9692 542,9692 3822,503168 3817,073476 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-26 7,035 7,025 538,8678 538,8678 3790,934973 3785,546295 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-27 7,085 7,075 528,3421 528,3421 3743,3037785 3738,0203575 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-28 7,085 7,075 523,0699 523,0699 3705,9502415 3700,7195425 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-04-29 7,08 7,07 523,8772 523,8772 3709,050576 3703,811804 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-03 7,178 7,168 528,9353 528,9353 3796,6975834 3791,4082304 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-04 7,11 7,1 529,3887 529,3887 3763,953657 3758,65977 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-06 7,085 7,075 532,15 532,15 3770,28275 3764,96125 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-09 7,168 7,158 531,8219 531,8219 3812,0993792 3806,7811602 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-10 7,178 7,168 532,3902 532,3902 3821,4968556 3816,1729536 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-11 7,15 7,14 529,4405 529,4405 3785,499575 3780,20517 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-12 7,243 7,233 529,282 529,282 3833,589526 3828,296706 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-13 7,265 7,255 526,9549 526,9549 3828,3273485 3823,0577995 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-16 7,32 7,31 526,6797 526,6797 3855,295404 3850,028607 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-17 7,313 7,303 527,677 527,677 3858,901901 3853,625131 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-18 7,3 7,29 531,342 531,342 3878,7966 3873,48318 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-19 7,26 7,25 532,368 532,368 3864,99168 3859,668 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-20 7,28 7,27 531,012 531,012 3865,76736 3860,45724 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-23 7,32 7,31 534,3704 534,3704 3911,591328 3906,247624 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-24 7,295 7,285 535,5229 535,5229 3906,6395555 3901,2843265 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-25 7,298 7,288 535,6906 535,6906 3909,4699988 3904,1130928 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-26 7,33 7,32 536,3966 536,3966 3931,787078 3926,423112 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-27 7,338 7,328 540,6212 540,6212 3967,0783656 3961,6721536 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-30 7,338 7,328 537,5968 537,5968 3944,8853184 3939,5093504 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-05-31 7,403 7,393 535,4464 535,4464 3963,9096992 3958,5552352 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-01 7,428 7,418 533,3664 533,3664 3961,8456192 3956,5119552 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-02 7,473 7,463 535,2121 535,2121 3999,6400233 3994,2879023 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-03 7,438 7,428 534,6185 534,6185 3976,492403 3971,146218 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-07 7,448 7,438 541,4326 541,4326 4032,5900048 4027,1756788 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-08 7,435 7,425 544,6967 544,6967 4049,8199645 4044,3729975 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-09 7,523 7,513 541,469 541,469 4073,471287 4068,056597 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-10 7,525 7,515 540,5167 540,5167 4067,3881675 4061,9830005 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-13 7,643 7,633 539,5404 539,5404 4123,7072772 4118,3118732 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-14 7,663 7,653 538,7027 538,7027 4128,0787901 4122,6917631 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-15 7,693 7,683 541,8753 541,8753 4168,6466829 4163,2279299 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-16 7,678 7,668 545,7904 545,7904 4190,5786912 4185,1207872 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-17 7,643 7,633 554,1454 554,1454 4235,3332922 4229,7918382 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-20 7,543 7,533 549,9913 549,9913 4148,5843759 4143,0844629 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-21 7,648 7,638 549,6573 549,6573 4203,7790304 4198,2824574 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-22 7,608 7,598 548,7845 548,7845 4175,152476 4169,664631 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-23 7,73 7,72 546,0874 546,0874 4221,255602 4215,794728 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-27 7,73 7,72 543,2709 543,2709 4199,484057 4194,051348 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-28 7,76 7,75 543,5885 543,5885 4218,24676 4212,810875 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-29 7,833 7,823 547,2441 547,2441 4286,5630353 4281,0905943 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-06-30 7,823 7,813 549,3575 549,3575 4297,6237225 4292,1301475 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-01 7,858 7,848 546,5566 546,5566 4294,8417628 4289,3761968 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-04 7,945 7,935 545,1492 545,1492 4331,210394 4325,758902 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-05 7,963 7,953 546,848 546,848 4354,550624 4349,082144 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-06 7,895 7,885 550,3142 550,3142 4344,730609 4339,227467 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-07 7,878 7,868 546,028 546,028 4301,608584 4296,148304 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-08 7,913 7,903 551,7661 551,7661 4366,1251493 4360,6074883 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-11 7,89 7,88 561,1569 561,1569 4427,527941 4421,916372 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-12 7,77 7,76 566,0365 566,0365 4398,103605 4392,44324 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-13 7,703 7,693 563,3325 563,3325 4339,3502475 4333,7169225 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-14 7,76 7,75 563,6939 563,6939 4374,264664 4368,627725 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-15 7,76 7,75 562,9668 562,9668 4368,622368 4362,9927 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-18 7,78 7,77 565,1911 565,1911 4397,186758 4391,534847 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-19 7,878 7,868 563,6836 563,6836 4440,6994008 4435,0625648 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-20 7,818 7,808 562,9807 562,9807 4401,3831126 4395,7533056 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-21 7,775 7,765 570,5513 570,5513 4436,0363575 4430,3308445 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-22 7,758 7,748 573,1568 573,1568 4446,5504544 4440,8188864 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-25 7,838 7,828 571,7464 571,7464 4481,3482832 4475,6308192 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-26 7,818 7,808 569,844 569,844 4455,040392 4449,341952 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-27 7,905 7,895 574,3338 574,3338 4540,108689 4534,365351 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-28 7,848 7,838 580,5386 580,5386 4556,0669328 4550,2615468 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-07-29 7,748 7,738 584,8955 584,8955 4531,770334 4525,921379 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-02 7,7 7,69 596,8888 596,8888 4596,04376 4590,074872 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-03 7,685 7,675 601,1553 601,1553 4619,8784805 4613,8669275 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-04 7,618 7,608 602,3958 602,3958 4589,0512044 4583,0272464 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-05 7,548 7,538 599,0587 599,0587 4521,6950676 4515,7044806 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-08 7,558 7,548 602,2068 602,2068 4551,4789944 4545,4569264 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-09 7,548 7,538 604,302 604,302 4561,271496 4555,228476 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-10 7,558 7,548 611,7905 611,7905 4623,912599 4617,794694 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-11 7,523 7,513 613,441 613,441 4614,916643 4608,782233 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-12 7,46 7,45 612,6432 612,6432 4570,318272 4564,19184 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-15 7,508 7,498 607,9878 607,9878 4564,7724024 4558,6925244 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-16 7,523 7,513 604,1811 604,1811 4545,2544153 4539,2126043 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-17 7,605 7,595 601,1171 601,1171 4571,4955455 4565,4843745 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-18 7,61 7,6 593,982 593,982 4520,20302 4514,2632 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-19 7,698 7,688 593,0473 593,0473 4565,2781154 4559,3476424 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-22 7,69 7,68 599,4338 599,4338 4609,645922 4603,651584 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-23 7,663 7,653 597,4607 597,4607 4578,3413441 4572,3667371 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-24 7,673 7,663 600,6474 600,6474 4608,7675002 4602,7610262 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-25 7,588 7,578 598,7104 598,7104 4543,0145152 4537,0274112 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-26 7,578 7,568 600,8215 600,8215 4553,025327 4547,017112 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-29 7,573 7,563 596,0139 596,0139 4513,6132647 4507,6531257 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-30 7,633 7,623 594,7614 594,7614 4539,8137662 4533,8661522 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-08-31 7,668 7,658 604,9109 604,9109 4638,4567812 4632,4076722 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-01 7,568 7,558 619,3942 619,3942 4687,5753056 4681,3813636 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-02 7,435 7,425 621,9826 621,9826 4624,440631 4618,220805 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-05 7,41 7,4 622,9249 622,9249 4615,873509 4609,64426 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-06 7,485 7,475 623,7654 623,7654 4668,884019 4662,646365 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-07 7,43 7,42 628,2366 628,2366 4667,797938 4661,515572 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-08 7,498 7,488 626,0952 626,0952 4694,4618096 4688,2008576 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-09 7,523 7,513 628,7539 628,7539 4730,1155897 4723,8280507 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-12 7,555 7,545 625,4382 625,4382 4725,185601 4718,931219 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-13 7,57 7,56 619,8066 619,8066 4691,935962 4685,737896 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-14 7,61 7,6 623,9968 623,9968 4748,615648 4742,37568 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-15 7,658 7,648 620,2315 620,2315 4749,732827 4743,530512 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-16 7,613 7,603 622,9543 622,9543 4742,5510859 4736,3215429 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-19 7,698 7,688 621,9325 621,9325 4787,636385 4781,41706 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-20 7,688 7,678 627,294 627,294 4822,636272 4816,363332 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-21 7,663 7,653 628,4756 628,4756 4816,0085228 4809,7237668 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-22 7,648 7,638 621,2563 621,2563 4751,3681824 4745,1556194 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-23 7,733 7,723 620,7626 620,7626 4800,3571858 4794,1495598 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-26 7,798 7,788 621,9514 621,9514 4849,9770172 4843,7575032 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-27 7,825 7,815 620,0979 620,0979 4852,2660675 4846,0650885 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-28 7,81 7,8 619,1272 619,1272 4835,383432 4829,19216 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-29 7,785 7,775 621,7065 621,7065 4839,9851025 4833,7680375 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-09-30 7,785 7,775 627,9057 627,9057 4888,2458745 4881,9668175 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-03 7,783 7,773 627,5459 627,5459 4884,1897397 4877,9142807 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-04 7,82 7,81 629,2416 629,2416 4920,669312 4914,376896 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-05 7,795 7,785 626,1321 626,1321 4880,6997195 4874,4383985 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-06 7,713 7,703 625,6568 625,6568 4825,6908984 4819,4343304 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-07 7,683 7,673 623,3735 623,3735 4789,3786005 4783,1448655 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-10 7,698 7,688 617,1796 617,1796 4751,0485608 4744,8767648 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-11 7,77 7,76 616,4106 616,4106 4789,510362 4783,346256 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-12 7,805 7,795 616,0487 616,0487 4808,2601035 4802,0996165 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-13 7,83 7,82 601,5245 601,5245 4709,936835 4703,92159 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-14 7,833 7,823 603,3715 603,3715 4726,2089595 4720,1752445 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-17 7,835 7,825 602,2776 602,2776 4718,844996 4712,82222 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-18 7,893 7,883 594,9992 594,9992 4696,3286856 4690,3786936 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-19 7,96 7,95 582,9862 582,9862 4640,570152 4634,74029 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-20 7,93 7,92 583,5116 583,5116 4627,246988 4621,411872 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-21 7,883 7,873 579,3341 579,3341 4566,8907103 4561,0973693 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-24 7,995 7,985 584,0758 584,0758 4669,686021 4663,845263 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-25 7,99 7,98 590,0873 590,0873 4714,797527 4708,896654 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-26 7,868 7,858 590,3303 590,3303 4644,7188004 4638,8154974 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-27 7,868 7,858 585,3943 585,3943 4605,8823524 4600,0284094 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-10-28 7,825 7,815 580,4439 580,4439 4541,9735175 4536,1690785 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-01 7,963 7,953 588,1828 588,1828 4683,6996364 4677,8178084 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-02 7,98 7,97 594,2387 594,2387 4742,024826 4736,082439 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-03 8,01 8 596,2268 596,2268 4775,776668 4769,8144 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-04 8,028 8,018 586,8834 586,8834 4711,4999352 4705,6311012 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-07 8,135 8,125 586,6238 586,6238 4772,184613 4766,318375 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-08 8,17 8,16 583,385 583,385 4766,25545 4760,4216 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-09 8,12 8,11 582,7499 582,7499 4731,929188 4726,101689 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-10 8,173 8,163 583,579 583,579 4769,591167 4763,755377 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-11 8,235 8,225 583,4333 583,4333 4804,5732255 4798,7388925 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-14 8,133 8,123 583,756 583,756 4747,687548 4741,849988 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-15 8,185 8,175 578,1334 578,1334 4732,021879 4726,240545 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-16 8,21 8,2 574,3456 574,3456 4715,377376 4709,63392 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-17 8,258 8,248 579,6296 579,6296 4786,5812368 4780,7849408 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-18 8,223 8,213 579,48 579,48 4765,06404 4759,26924 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-21 8,123 8,113 584,3641 584,3641 4746,7895843 4740,9459433 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-22 8,15 8,14 583,7996 583,7996 4757,96674 4752,128744 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-23 8,048 8,038 587,9184 587,9184 4731,5672832 4725,6880992 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-24 8,053 8,043 590,3588 590,3588 4754,1594164 4748,2558284 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-25 8,078 8,068 591,2896 591,2896 4776,4373888 4770,5244928 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-28 8,118 8,108 591,0532 591,0532 4798,1698776 4792,2593456 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-29 8,015 8,005 589,4768 589,4768 4724,656552 4718,761784 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-11-30 8,088 8,078 592,1848 592,1848 4789,5906624 4783,6688144 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-01 8,083 8,073 592,0441 592,0441 4785,4924603 4779,5720193 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-02 8,103 8,093 596,1618 596,1618 4830,6990654 4824,7374474 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-05 8,045 8,035 598,6642 598,6642 4816,253489 4810,266847 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-06 7,993 7,983 600,0774 600,0774 4796,4186582 4790,4178842 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-07 8,015 8,005 598,5157 598,5157 4797,1033355 4791,1181785 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-08 7,988 7,978 603,0255 603,0255 4816,967694 4810,937439 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-12 7,953 7,943 609,2715 609,2715 4845,5362395 4839,4435245 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-13 7,905 7,895 607,9068 607,9068 4805,503254 4799,424186 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-14 7,848 7,838 612,2427 612,2427 4804,8807096 4798,7582826 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-15 7,858 7,848 607,6628 607,6628 4775,0142824 4768,9376544 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-16 7,903 7,893 614,3275 614,3275 4855,0302325 4848,8869575 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-19 7,865 7,855 615,3457 615,3457 4839,6939305 4833,5404735 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-20 7,848 7,838 612,4441 612,4441 4806,4612968 4800,3368558 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-21 7,948 7,938 611,0205 611,0205 4856,390934 4850,280729 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-22 7,98 7,97 613,2835 613,2835 4894,00233 4887,869495 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-23 7,955 7,945 620,3227 620,3227 4934,6670785 4928,4638515 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-29 7,938 7,928 619,93 619,93 4921,00434 4914,80504 447979 AIG Global Investment Fund Management Limited AIG Europe Small Companies Fund USD 2005-12-30 7,958 7,948 618,9603 618,9603 4925,6860674 4919,4964644 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-04 6,728 6,718 207,0662 207,0662 1393,1413936 1391,0707316 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-05 6,828 6,818 207,3985 207,3985 1416,116958 1414,042973 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-07 6,87 6,86 205,3065 205,3065 1410,455655 1408,40259 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-10 6,96091 6,95091 206,2766 206,2766 1435,872847706 1433,810081706 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-11 6,96091 6,95091 207,3831 207,3831 1443,575094621 1441,501263621 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-12 6,913 6,903 209,0558 209,0558 1445,2027454 1443,1121874 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-13 6,843 6,833 208,7633 208,7633 1428,5672619 1426,4796289 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-14 6,915 6,905 207,7807 207,7807 1436,8035405 1434,7257335 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-17 6,915 6,905 207,8933 207,8933 1437,5821695 1435,5032365 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-18 6,968 6,958 207,6 207,6 1446,5568 1444,4808 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-19 6,91 6,9 207,5188 207,5188 1433,954908 1431,87972 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-20 6,96 6,95 206,3026 206,3026 1435,866096 1433,80307 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-21 6,978 6,968 207,4138 207,4138 1447,3334964 1445,2593584 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-24 6,933 6,923 207,6916 207,6916 1439,9258628 1437,8489468 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-25 6,95 6,94 205,9846 205,9846 1431,59297 1429,533124 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-26 6,995 6,985 207,7412 207,7412 1453,149694 1451,072282 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-27 6,93 6,92 206,9566 206,9566 1434,209238 1432,139672 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-28 6,985 6,975 207,1678 207,1678 1447,067083 1444,995405 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-01-31 6,998 6,988 207,3362 207,3362 1450,9387276 1448,8653656 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-01 6,993 6,983 206,9017 206,9017 1446,8635881 1444,7945711 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-02 6,953 6,943 207,0249 207,0249 1439,4441297 1437,3738807 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-03 6,968 6,958 206,0342 206,0342 1435,6463056 1433,5859636 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-04 7,01 7 206,8882 206,8882 1450,286282 1448,2174 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-07 7,065 7,055 205,261 205,261 1450,168965 1448,116355 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-08 7,123 7,113 204,8687 204,8687 1459,2797501 1457,2310631 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-09 7,1 7,09 205,0917 205,0917 1456,15107 1454,100153 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-10 7,088 7,078 205,6985 205,6985 1457,990968 1455,933983 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-11 7,068 7,058 205,3584 205,3584 1451,4731712 1449,4195872 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-14 7,03 7,02 206,6844 206,6844 1452,991332 1450,924488 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-15 7,005 6,995 206,6507 206,6507 1447,5881535 1445,5216465 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-16 6,973 6,963 205,8091 205,8091 1435,1068543 1433,0487633 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-17 6,97 6,96 206,6075 206,6075 1440,054275 1437,9882 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-18 6,965 6,955 205,6442 205,6442 1432,311853 1430,255411 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-21 6,978 6,968 205,5803 205,5803 1434,5393334 1432,4835304 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-22 6,905 6,895 207,6215 207,6215 1433,6264575 1431,5502425 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-23 6,895 6,885 207,0815 207,0815 1427,8269425 1425,7561275 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-24 6,858 6,848 206,6087 206,6087 1416,9224646 1414,8563776 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-25 6,885 6,875 206,7583 206,7583 1423,5308955 1421,4633125 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-02-28 6,828 6,818 207,6586 207,6586 1417,8929208 1415,8163348 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-01 6,87 6,86 206,73 206,73 1420,2351 1418,1678 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-02 6,888 6,878 205,8016 205,8016 1417,5614208 1415,5034048 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-03 6,903 6,893 205,5793 205,5793 1419,1139079 1417,0581149 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-04 6,9 6,89 207,6235 207,6235 1432,60215 1430,525915 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-07 6,84 6,83 207,2949 207,2949 1417,897116 1415,824167 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-08 6,825 6,815 208,3038 208,3038 1421,673435 1419,590397 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-09 6,76 6,75 208,3618 208,3618 1408,525768 1406,44215 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-10 6,745 6,735 208,3512 208,3512 1405,328844 1403,245332 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-11 6,765 6,755 208,9645 208,9645 1413,6448425 1411,5551975 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-14 6,76 6,75 207,1581 207,1581 1400,388756 1398,317175 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-15 6,815 6,805 207,439 207,439 1413,696785 1411,622395 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-16 6,81 6,8 208,7587 208,7587 1421,646747 1419,55916 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-18 6,828 6,818 207,4959 207,4959 1416,7820052 1414,7070462 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-21 6,908 6,898 205,8399 205,8399 1421,9420292 1419,8836302 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-22 6,928 6,918 206,3143 206,3143 1429,3454704 1427,2823274 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-23 6,973 6,963 203,8475 203,8475 1421,4286175 1419,3901425 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-24 7,008 6,998 203,5036 203,5036 1426,1532288 1424,1181928 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-29 7,055 7,045 202,6012 202,6012 1429,351466 1427,325454 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-30 7,053 7,043 203,2396 203,2396 1433,4488988 1431,4165028 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-03-31 7,065 7,055 203,9605 203,9605 1440,9809325 1438,9413275 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-01 7,07 7,06 203,3588 203,3588 1437,746716 1435,713128 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-04 7,113 7,103 202,6451 202,6451 1441,4145963 1439,3881453 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-05 7,163 7,153 202,4814 202,4814 1450,3742682 1448,3494542 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-06 7,125 7,115 202,6291 202,6291 1443,7323375 1441,7060465 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-07 7,083 7,073 203,1821 203,1821 1439,1388143 1437,1069933 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-08 7,153 7,143 203,2024 203,2024 1453,5067672 1451,4747432 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-11 7,098 7,088 204,1562 204,1562 1449,1007076 1447,0591456 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-12 7,048 7,038 203,4209 203,4209 1433,7105032 1431,6762942 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-13 7,075 7,065 204,4694 204,4694 1446,621005 1444,576311 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-14 7,12 7,11 203,1444 203,1444 1446,388128 1444,356684 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-15 7,17 7,16 204,818 204,818 1468,54506 1466,49688 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-18 7,08 7,07 206,0495 206,0495 1458,83046 1456,769965 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-19 7,068 7,058 206,5196 206,5196 1459,6805328 1457,6153368 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-20 7,043 7,033 207,0458 207,0458 1458,2235694 1456,1531114 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-21 7,025 7,015 206,8356 206,8356 1453,02009 1450,951734 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-22 7,023 7,013 207,3476 207,3476 1456,2021948 1454,1287188 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-25 7,04 7,03 206,9643 206,9643 1457,028672 1454,959029 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-26 7,035 7,025 206,5551 206,5551 1453,1151285 1451,0495775 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-27 7,085 7,075 206,5578 206,5578 1463,462013 1461,396435 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-28 7,085 7,075 206,5762 206,5762 1463,592377 1461,526615 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-04-29 7,08 7,07 207,3102 207,3102 1467,756216 1465,683114 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-03 7,178 7,168 206,862 206,862 1484,855436 1482,786816 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-04 7,11 7,1 207,4913 207,4913 1475,263143 1473,18823 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-06 7,085 7,075 206,2526 206,2526 1461,299671 1459,237145 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-09 7,168 7,158 206,0382 206,0382 1476,8818176 1474,8214356 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-10 7,178 7,168 206,7081 206,7081 1483,7507418 1481,6836608 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-11 7,15 7,14 206,3223 206,3223 1475,204445 1473,141222 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-12 7,243 7,233 205,0729 205,0729 1485,3430147 1483,2922857 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-13 7,265 7,255 204,5287 204,5287 1485,9010055 1483,8557185 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-16 7,32 7,31 204,2213 204,2213 1494,899916 1492,857703 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-17 7,313 7,303 204,3482 204,3482 1494,3983866 1492,3549046 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-18 7,3 7,29 204,7654 204,7654 1494,78742 1492,739766 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-19 7,26 7,25 204,1718 204,1718 1482,287268 1480,24555 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-20 7,28 7,27 203,051 203,051 1478,21128 1476,18077 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-23 7,32 7,31 203,7303 203,7303 1491,305796 1489,268493 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-24 7,295 7,285 204,3286 204,3286 1490,577137 1488,533851 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-25 7,298 7,288 204,2379 204,2379 1490,5281942 1488,4858152 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-26 7,33 7,32 203,2214 203,2214 1489,612862 1487,580648 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-27 7,338 7,328 203,7014 203,7014 1494,7608732 1492,7238592 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-30 7,338 7,328 203,0182 203,0182 1489,7475516 1487,7173696 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-05-31 7,403 7,393 202,7285 202,7285 1500,7990855 1498,7718005 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-06-01 7,428 7,418 202,1618 202,1618 1501,6578504 1499,6362324 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-06-02 7,473 7,463 202,6261 202,6261 1514,2248453 1512,1985843 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-06-03 7,438 7,428 202,4216 202,4216 1505,6118608 1503,5876448 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-06-07 7,448 7,438 204,2205 204,2205 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2005-09-06 7,485 7,475 205,5404 205,5404 1538,469894 1536,41449 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-07 7,43 7,42 204,8642 204,8642 1522,141006 1520,092364 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-08 7,498 7,488 204,5134 204,5134 1533,4414732 1531,3963392 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-09 7,523 7,513 205,3707 205,3707 1545,0037761 1542,9500691 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-12 7,555 7,545 203,3648 203,3648 1536,421064 1534,387416 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-13 7,57 7,56 203,0258 203,0258 1536,905306 1534,875048 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-14 7,61 7,6 203,5796 203,5796 1549,240756 1547,20496 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-15 7,658 7,648 202,3466 202,3466 1549,5702628 1547,5467968 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-16 7,613 7,603 201,5774 201,5774 1534,6087462 1532,5929722 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-19 7,698 7,688 201,3986 201,3986 1550,3664228 1548,3524368 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-20 7,688 7,678 201,6276 201,6276 1550,1129888 1548,0967128 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-21 7,663 7,653 202,6315 202,6315 1552,7651845 1550,7388695 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-22 7,648 7,638 201,7462 201,7462 1542,9549376 1540,9374756 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-09-23 7,733 7,723 200,428 200,428 1549,909724 1547,905444 483800 AIG Global Investment Fund Management Limited AIG Global 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AIG Global Bond Fund USD 2005-10-14 7,833 7,823 197,0375 197,0375 1543,3947375 1541,4243625 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-10-17 7,835 7,825 196,4062 196,4062 1538,842577 1536,878515 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-10-18 7,893 7,883 195,2069 195,2069 1540,7680617 1538,8159927 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-10-19 7,96 7,95 196,1956 196,1956 1561,716976 1559,75502 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-10-20 7,93 7,92 196,065 196,065 1554,79545 1552,8348 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-10-21 7,883 7,873 196,5836 196,5836 1549,6685188 1547,7026828 483800 AIG Global Investment Fund Management Limited AIG Global Bond Fund USD 2005-10-24 7,995 7,985 196,3499 196,3499 1569,8174505 1567,8539515 483800 AIG Global Investment Fund Management Limited 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216,5323 216,5323 1654,9563689 1652,7910459 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-14 7,663 7,653 216,8802 216,8802 1661,9529726 1659,7841706 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-15 7,693 7,683 219,1333 219,1333 1685,7924769 1683,6011439 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-16 7,678 7,668 220,1771 220,1771 1690,5197738 1688,3180028 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-17 7,643 7,633 221,831 221,831 1695,454333 1693,236023 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-20 7,543 7,533 221,0964 221,0964 1667,7301452 1665,5191812 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-21 7,648 7,638 220,7743 220,7743 1688,4818464 1686,2741034 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-22 7,608 7,598 222,0161 222,0161 1689,0984888 1686,8783278 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-23 7,73 7,72 221,2494 221,2494 1710,257862 1708,045368 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-27 7,73 7,72 220,0968 220,0968 1701,348264 1699,147296 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-28 7,76 7,75 220,1053 220,1053 1708,017128 1705,816075 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-29 7,833 7,823 220,5049 220,5049 1727,2148817 1725,0098327 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-06-30 7,823 7,813 220,3516 220,3516 1723,8105668 1721,6070508 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-07-01 7,858 7,848 222,0126 222,0126 1744,5750108 1742,3548848 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-07-04 7,945 7,935 221,5046 221,5046 1759,854047 1757,639001 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-07-05 7,963 7,953 220,5448 220,5448 1756,1982424 1753,9927944 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-07-06 7,895 7,885 221,502 221,502 1748,75829 1746,54327 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-07-07 7,878 7,868 220,9072 220,9072 1740,3069216 1738,0978496 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-07-08 7,913 7,903 221,5474 221,5474 1753,1045762 1750,8891022 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-07-11 7,89 7,88 225,0404 225,0404 1775,568756 1773,318352 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1862,03447 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-07-29 7,748 7,738 238,9284 238,9284 1851,2172432 1848,8279592 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-02 7,7 7,69 243,0756 243,0756 1871,68212 1869,251364 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-03 7,685 7,675 244,6915 244,6915 1880,4541775 1878,0072625 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-04 7,618 7,608 246,2755 246,2755 1876,126759 1873,664004 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-05 7,548 7,538 245,3471 245,3471 1851,8799108 1849,4264398 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-08 7,558 7,548 244,9983 244,9983 1851,6971514 1849,2471684 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-09 7,548 7,538 245,0321 245,0321 1849,5022908 1847,0519698 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-10 7,558 7,548 246,8659 246,8659 1865,8124722 1863,3438132 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-11 7,523 7,513 246,8984 246,8984 1857,4166632 1854,9476792 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-12 7,46 7,45 245,6098 245,6098 1832,249108 1829,79301 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-15 7,508 7,498 245,5064 245,5064 1843,2620512 1840,8069872 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-16 7,523 7,513 246,0704 246,0704 1851,1876192 1848,7269152 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-17 7,605 7,595 245,6583 245,6583 1868,2313715 1865,7747885 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-18 7,61 7,6 242,0267 242,0267 1841,823187 1839,40292 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-19 7,698 7,688 240,6187 240,6187 1852,2827526 1849,8765656 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-22 7,69 7,68 243,3497 243,3497 1871,359193 1868,925696 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-23 7,663 7,653 241,3629 241,3629 1849,5639027 1847,1502737 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-24 7,673 7,663 239,2974 239,2974 1836,1289502 1833,7359762 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-25 7,588 7,578 241,1791 241,1791 1830,0670108 1827,6552198 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-26 7,578 7,568 240,6434 240,6434 1823,5956852 1821,1892512 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-29 7,573 7,563 237,8318 237,8318 1801,1002214 1798,7219034 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-30 7,633 7,623 238,0422 238,0422 1816,9761126 1814,5956906 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-08-31 7,668 7,658 240,7074 240,7074 1845,7443432 1843,3372692 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-09-01 7,568 7,558 244,4341 244,4341 1849,8772688 1847,4329278 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-09-02 7,435 7,425 247,0268 247,0268 1836,644258 1834,17399 232991 AIG Global Investment Fund Management Limited AIG Global Emerging 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1887,521832 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-09-14 7,61 7,6 250,3289 250,3289 1905,002929 1902,49964 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-09-15 7,658 7,648 250,5346 250,5346 1918,5939668 1916,0886208 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-09-16 7,613 7,603 251,6718 251,6718 1915,9774134 1913,4606954 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-09-19 7,698 7,688 252,6458 252,6458 1944,8673684 1942,3409104 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-09-20 7,688 7,678 254,2401 254,2401 1954,5978888 1952,0554878 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-09-21 7,663 7,653 256,08 256,08 1962,34104 1959,78024 232991 AIG Global Investment Fund Management Limited AIG 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2044,1035575 2041,4778625 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-03 7,783 7,773 263,1965 263,1965 2048,4583595 2045,8263945 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-04 7,82 7,81 264,2173 264,2173 2066,179286 2063,537113 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-05 7,795 7,785 260,8157 260,8157 2033,0583815 2030,4502245 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-06 7,713 7,703 253,6181 253,6181 1956,1564053 1953,6202243 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-07 7,683 7,673 253,7371 253,7371 1949,4621393 1946,9247683 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-10 7,698 7,688 255,721 255,721 1968,540258 1965,983048 232991 AIG Global Investment Fund 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241,7965 241,7965 1924,70014 1922,282175 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-20 7,93 7,92 241,8479 241,8479 1917,853847 1915,435368 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-21 7,883 7,873 243,2326 243,2326 1917,4025858 1914,9702598 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-24 7,995 7,985 245,2549 245,2549 1960,8129255 1958,3603765 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-25 7,99 7,98 244,6754 244,6754 1954,956446 1952,509692 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-26 7,868 7,858 245,0043 245,0043 1927,6938324 1925,2437894 232991 AIG Global Investment Fund Management Limited AIG Global Emerging Markets Fund USD 2005-10-27 7,868 7,858 242,0129 242,0129 1904,1574972 1901,7373682 232991 AIG Global 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15,8643 119,3471289 119,1884859 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-12 7,555 7,545 16,1908 16,1908 122,321494 122,159586 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-13 7,57 7,56 16,2157 16,2157 122,752849 122,590692 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-14 7,61 7,6 16,1616 16,1616 122,989776 122,82816 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-15 7,658 7,648 16,3456 16,3456 125,1746048 125,0111488 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-16 7,613 7,603 16,3855 16,3855 124,7428115 124,5789565 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-19 7,698 7,688 16,2289 16,2289 124,9300722 124,7677832 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-20 7,688 7,678 16,5651 16,5651 127,3524888 127,1868378 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-21 7,663 7,653 16,524 16,524 126,623412 126,458172 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-22 7,648 7,638 16,6197 16,6197 127,1074656 126,9412686 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-23 7,733 7,723 16,5612 16,5612 128,0677596 127,9021476 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-26 7,798 7,788 16,8713 16,8713 131,5623974 131,3936844 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-27 7,825 7,815 16,7549 16,7549 131,1070925 130,9395435 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-09-28 7,81 7,8 17,1851 17,1851 134,215631 134,04378 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon 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AIG Japan New Horizon Fund USD 2005-10-10 7,698 7,688 16,6786 16,6786 128,3918628 128,2250768 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-11 7,77 7,76 17,0378 17,0378 132,383706 132,213328 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-12 7,805 7,795 17,0148 17,0148 132,800514 132,630366 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-13 7,83 7,82 17,0161 17,0161 133,236063 133,065902 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-14 7,833 7,823 16,8957 16,8957 132,3440181 132,1750611 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-17 7,835 7,825 16,8549 16,8549 132,0581415 131,8895925 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-18 7,893 7,883 16,6761 16,6761 131,6244573 131,4576963 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-19 7,96 7,95 16,4088 16,4088 130,614048 130,44996 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-20 7,93 7,92 16,4819 16,4819 130,701467 130,536648 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-21 7,883 7,873 16,5241 16,5241 130,2594803 130,0942393 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-24 7,995 7,985 16,3521 16,3521 130,7350395 130,5715185 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-25 7,99 7,98 16,518 16,518 131,97882 131,81364 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-26 7,868 7,858 16,8238 16,8238 132,3696584 132,2014204 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-27 7,868 7,858 17,0313 17,0313 134,0022684 133,8319554 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-10-28 7,825 7,815 17,0029 17,0029 133,0476925 132,8776635 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-01 7,963 7,953 17,6471 17,6471 140,5238573 140,3473863 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-02 7,98 7,97 17,6015 17,6015 140,45997 140,283955 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-03 8,01 8 17,5965 17,5965 140,947965 140,772 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-04 8,028 8,018 17,8392 17,8392 143,2130976 143,0347056 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-07 8,135 8,125 17,8642 17,8642 145,325267 145,146625 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-08 8,17 8,16 17,881 17,881 146,08777 145,90896 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-09 8,12 8,11 17,8495 17,8495 144,93794 144,759445 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-10 8,173 8,163 17,6167 17,6167 143,9812891 143,8051221 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-11 8,235 8,225 17,8707 17,8707 147,1652145 146,9865075 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-14 8,133 8,123 17,6583 17,6583 143,6149539 143,4383709 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-15 8,185 8,175 17,4162 17,4162 142,551597 142,377435 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-16 8,21 8,2 17,5862 17,5862 144,382702 144,20684 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-17 8,258 8,248 17,985 17,985 148,52013 148,34028 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-18 8,223 8,213 18,1854 18,1854 149,5385442 149,3566902 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-21 8,123 8,113 18,2261 18,2261 148,0506103 147,8683493 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-22 8,15 8,14 18,2707 18,2707 148,906205 148,723498 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-23 8,048 8,038 18,3539 18,3539 147,7121872 147,5286482 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-24 8,053 8,043 18,2769 18,2769 147,1838757 147,0011067 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-25 8,078 8,068 18,2849 18,2849 147,7054222 147,5225732 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-28 8,118 8,108 18,4376 18,4376 149,6764368 149,4920608 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-29 8,015 8,005 18,6748 18,6748 149,678522 149,491774 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-11-30 8,088 8,078 18,5705 18,5705 150,198204 150,012499 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-01 8,083 8,073 18,8068 18,8068 152,0153644 151,8272964 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-02 8,103 8,093 19,1759 19,1759 155,3823177 155,1905587 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-05 8,045 8,035 19,4517 19,4517 156,4889265 156,2944095 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-06 7,993 7,983 19,3329 19,3329 154,5278697 154,3345407 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-07 8,015 8,005 19,403 19,403 155,515045 155,321015 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-08 7,988 7,978 19,0605 19,0605 152,255274 152,064669 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-12 7,953 7,943 19,8223 19,8223 157,6467519 157,4485289 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-13 7,905 7,895 20,0684 20,0684 158,640702 158,440018 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-14 7,848 7,838 19,9615 19,9615 156,657852 156,458237 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-15 7,858 7,848 20,0173 20,0173 157,2959434 157,0957704 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-16 7,903 7,893 19,9525 19,9525 157,6846075 157,4850825 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-19 7,865 7,855 19,9542 19,9542 156,939783 156,740241 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-20 7,848 7,838 20,2668 20,2668 159,0538464 158,8511784 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-21 7,948 7,938 20,5011 20,5011 162,9427428 162,7377318 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-22 7,98 7,97 20,4381 20,4381 163,096038 162,891657 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-23 7,955 7,945 20,5777 20,5777 163,6956035 163,4898265 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-29 7,938 7,928 20,9367 20,9367 166,1955246 165,9861576 282699 AIG Global Investment Fund Management Limited AIG Japan New Horizon Fund USD 2005-12-30 7,958 7,948 20,8414 20,8414 165,8558612 165,6474472 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-03 9,0065 9,0015 1,0578 1,0578 9,5270757 9,5217867 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-04 9,0345 9,0295 1,0603 1,0603 9,57928035 9,57397885 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-05 9,0615 9,0565 1,0567 1,0567 9,57528705 9,57000355 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-07 9,0615 9,0565 1,0629 1,0629 9,63146835 9,62615385 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-10 9,08619 9,08119 1,0693 1,0693 9,715862967 9,710516467 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-11 9,08619 9,08119 1,0661 1,0661 9,686787159 9,681456659 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-12 9,0455 9,0405 1,0618 1,0618 9,6045119 9,5992029 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-13 9,0505 9,0455 1,0613 1,0613 9,60529565 9,59998915 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-14 9,0455 9,0405 1,0632 1,0632 9,6171756 9,6118596 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-17 9,0685 9,0635 1,0689 1,0689 9,69331965 9,68797515 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-18 9,0585 9,0535 1,0678 1,0678 9,6726663 9,6673273 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-19 9,0225 9,0175 1,0688 1,0688 9,643248 9,637904 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-20 9,0315 9,0265 1,0588 1,0588 9,5625522 9,5572582 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-21 9,0505 9,0455 1,0642 1,0642 9,6315421 9,6262211 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-24 9,0655 9,0605 1,0583 1,0583 9,59401865 9,58872715 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-25 9,0715 9,0665 1,0582 1,0582 9,5994613 9,5941703 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-26 9,0885 9,0835 1,0627 1,0627 9,65834895 9,65303545 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-27 9,0675 9,0625 1,0725 1,0725 9,72489375 9,71953125 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-28 9,0955 9,0905 1,0689 1,0689 9,72217995 9,71683545 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-01-31 9,1075 9,1025 1,0681 1,0681 9,72772075 9,72238025 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-01 9,1035 9,0985 1,0741 1,0741 9,77806935 9,77269885 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-02 9,0905 9,0855 1,0891 1,0891 9,90046355 9,89501805 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-03 9,0695 9,0645 1,104 1,104 10,012728 10,007208 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-04 9,0895 9,0845 1,1062 1,1062 10,0548049 10,0492739 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-07 9,0755 9,0705 1,1137 1,1137 10,10738435 10,10181585 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-08 9,0895 9,0845 1,1194 1,1194 10,1747863 10,1691893 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-09 9,0695 9,0645 1,1193 1,1193 10,15149135 10,14589485 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-10 9,0805 9,0755 1,1175 1,1175 10,14745875 10,14187125 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-11 9,0935 9,0885 1,1197 1,1197 10,18199195 10,17639345 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-14 9,1105 9,1055 1,122 1,122 10,221981 10,216371 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-15 9,0765 9,0715 1,1284 1,1284 10,2419226 10,2362806 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-16 9,0705 9,0655 1,1262 1,1262 10,2151971 10,2095661 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-17 9,0925 9,0875 1,1306 1,1306 10,2799805 10,2743275 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-18 9,0945 9,0895 1,1325 1,1325 10,29952125 10,29385875 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-21 9,1185 9,1135 1,138 1,138 10,376853 10,371163 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-22 9,0975 9,0925 1,1292 1,1292 10,272897 10,267251 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-23 9,1045 9,0995 1,128 1,128 10,269876 10,264236 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-24 9,0715 9,0665 1,1308 1,1308 10,2580522 10,2523982 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-25 9,0845 9,0795 1,1356 1,1356 10,3163582 10,3106802 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-02-28 9,0505 9,0455 1,1416 1,1416 10,3320508 10,3263428 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-01 9,0565 9,0515 1,1401 1,1401 10,32531565 10,31961515 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-02 9,0645 9,0595 1,1443 1,1443 10,37250735 10,36678585 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-03 9,0675 9,0625 1,1459 1,1459 10,39044825 10,38471875 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-04 9,0415 9,0365 1,1516 1,1516 10,4121914 10,4064334 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-07 9,0425 9,0375 1,1639 1,1639 10,52456575 10,51874625 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-08 9,0345 9,0295 1,1595 1,1595 10,47550275 10,46970525 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-09 9,0365 9,0315 1,165 1,165 10,5275225 10,5216975 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-10 9,0655 9,0605 1,1569 1,1569 10,48787695 10,48209245 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-11 9,0795 9,0745 1,159 1,159 10,5231405 10,5173455 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-14 9,0695 9,0645 1,1587 1,1587 10,50882965 10,50303615 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-15 9,1035 9,0985 1,1615 1,1615 10,57371525 10,56790775 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-16 9,0975 9,0925 1,159 1,159 10,5440025 10,5382075 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-17 9,1045 9,0995 1,1511 1,1511 10,48018995 10,47443445 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-18 9,1035 9,0985 1,1503 1,1503 10,47175605 10,46600455 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-21 9,1265 9,1215 1,146 1,146 10,458969 10,453239 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-22 9,1265 9,1215 1,1425 1,1425 10,42702625 10,42131375 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-23 9,1165 9,1115 1,135 1,135 10,3472275 10,3415525 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-24 9,1135 9,1085 1,1343 1,1343 10,33744305 10,33177155 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-29 9,1315 9,1265 1,1395 1,1395 10,40534425 10,39964675 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-30 9,1425 9,1375 1,1388 1,1388 10,411479 10,405785 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-03-31 9,1405 9,1355 1,1427 1,1427 10,44484935 10,43913585 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-01 9,1645 9,1595 1,1447 1,1447 10,49060315 10,48487965 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-04 9,1695 9,1645 1,1354 1,1354 10,4110503 10,4053733 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-05 9,1745 9,1695 1,1435 1,1435 10,49104075 10,48532325 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-06 9,1705 9,1655 1,1499 1,1499 10,54515795 10,53940845 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-07 9,1505 9,1455 1,1602 1,1602 10,6164101 10,6106091 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-08 9,1625 9,1575 1,1738 1,1738 10,7549425 10,7490735 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-11 9,1705 9,1655 1,1707 1,1707 10,73590435 10,73005085 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-12 9,1525 9,1475 1,1736 1,1736 10,741374 10,735506 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-13 9,1495 9,1445 1,176 1,176 10,759812 10,753932 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-14 9,1685 9,1635 1,1718 1,1718 10,7436483 10,7377893 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-15 9,1925 9,1875 1,1528 1,1528 10,597114 10,59135 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-18 9,1805 9,1755 1,1393 1,1393 10,45934365 10,45364715 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-19 9,2035 9,1985 1,1456 1,1456 10,5435296 10,5378016 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-20 9,1915 9,1865 1,1528 1,1528 10,5959612 10,5901972 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-21 9,1855 9,1805 1,1472 1,1472 10,5376056 10,5318696 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-22 9,1625 9,1575 1,1511 1,1511 10,54695375 10,54119825 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-25 9,1685 9,1635 1,1553 1,1553 10,59236805 10,58659155 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-26 9,1375 9,1325 1,1574 1,1574 10,5757425 10,5699555 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-27 9,1465 9,1415 1,1457 1,1457 10,47914505 10,47341655 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-28 9,1505 9,1455 1,132 1,132 10,358366 10,352706 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-04-29 9,1705 9,1655 1,1292 1,1292 10,3553286 10,3496826 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-02 9,1935 9,1885 1,1343 1,1343 10,42818705 10,42251555 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-03 9,2245 9,2195 1,1344 1,1344 10,4642728 10,4586008 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-04 9,1915 9,1865 1,1367 1,1367 10,44797805 10,44229455 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-06 9,1715 9,1665 1,1422 1,1422 10,4756873 10,4699763 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-09 9,1815 9,1765 1,1487 1,1487 10,54678905 10,54104555 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-10 9,1985 9,1935 1,1474 1,1474 10,5543589 10,5486219 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-11 9,2105 9,2055 1,1445 1,1445 10,54141725 10,53569475 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-12 9,2315 9,2265 1,1502 1,1502 10,6180713 10,6123203 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-13 9,2045 9,1995 1,1519 1,1519 10,60266355 10,59690405 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-16 9,2145 9,2095 1,1542 1,1542 10,6353759 10,6296049 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-17 9,2325 9,2275 1,1535 1,1535 10,64968875 10,64392125 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-18 9,2095 9,2045 1,165 1,165 10,7290675 10,7232425 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-19 9,1905 9,1855 1,1709 1,1709 10,76115645 10,75530195 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-20 9,1955 9,1905 1,1739 1,1739 10,79459745 10,78872795 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-23 9,1805 9,1755 1,1806 1,1806 10,8384983 10,8325953 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-24 9,1815 9,1765 1,1815 1,1815 10,84794225 10,84203475 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-25 9,1785 9,1735 1,1844 1,1844 10,8710154 10,8650934 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-26 9,1945 9,1895 1,1833 1,1833 10,87985185 10,87393535 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-27 9,1955 9,1905 1,1896 1,1896 10,9389668 10,9330188 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-30 9,1905 9,1855 1,1936 1,1936 10,9697808 10,9638128 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-05-31 9,1665 9,1615 1,2004 1,2004 11,0034666 10,9974646 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-01 9,1455 9,1405 1,209 1,209 11,0569095 11,0508645 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-02 9,1565 9,1515 1,2119 1,2119 11,09676235 11,09070285 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-03 9,1315 9,1265 1,2091 1,2091 11,04089665 11,03485115 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-07 9,1455 9,1405 1,2061 1,2061 11,03038755 11,02435705 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-08 9,1455 9,1405 1,2106 1,2106 11,0715423 11,0654893 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-09 9,1965 9,1915 1,2142 1,2142 11,1663903 11,1603193 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-10 9,1975 9,1925 1,226 1,226 11,276135 11,270005 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-13 9,2365 9,2315 1,2314 1,2314 11,3738261 11,3676691 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-14 9,2985 9,2935 1,2359 1,2359 11,49201615 11,48583665 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-15 9,2695 9,2645 1,2392 1,2392 11,4867644 11,4805684 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-16 9,2695 9,2645 1,2428 1,2428 11,5201346 11,5139206 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-17 9,2695 9,2645 1,2499 1,2499 11,58594805 11,57969855 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-20 9,2255 9,2205 1,246 1,246 11,494973 11,488743 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-21 9,2725 9,2675 1,2479 1,2479 11,57115275 11,56491325 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-22 9,2615 9,2565 1,2515 1,2515 11,59076725 11,58450975 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-23 9,3535 9,3485 1,2563 1,2563 11,75080205 11,74452055 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-27 9,3855 9,3805 1,2412 1,2412 11,6492826 11,6430766 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-28 9,3995 9,3945 1,246 1,246 11,711777 11,705547 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-29 9,4215 9,4165 1,2535 1,2535 11,80985025 11,80358275 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-06-30 9,4415 9,4365 1,2549 1,2549 11,84813835 11,84186385 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-01 9,4595 9,4545 1,2576 1,2576 11,8962672 11,8899792 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-04 9,4795 9,4745 1,2664 1,2664 12,0048388 11,9985068 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-05 9,4575 9,4525 1,2702 1,2702 12,0129165 12,0065655 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-06 9,4195 9,4145 1,2784 1,2784 12,0418888 12,0354968 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-07 9,3965 9,3915 1,2618 1,2618 11,8565037 11,8501947 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-08 9,4175 9,4125 1,2771 1,2771 12,02708925 12,02070375 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-11 9,4665 9,4615 1,2845 1,2845 12,15971925 12,15329675 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-12 9,4645 9,4595 1,2812 1,2812 12,1259174 12,1195114 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-13 9,3915 9,3865 1,2854 1,2854 12,0718341 12,0654071 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-14 9,3675 9,3625 1,2861 1,2861 12,04754175 12,04111125 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-15 9,4055 9,4005 1,2881 1,2881 12,11522455 12,10878405 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-18 9,3895 9,3845 1,2905 1,2905 12,11714975 12,11069725 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-19 9,4425 9,4375 1,2877 1,2877 12,15910725 12,15266875 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-20 9,4265 9,4215 1,2949 1,2949 12,20637485 12,19990035 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-21 9,4625 9,4575 1,2855 1,2855 12,16404375 12,15761625 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-22 9,4495 9,4445 1,285 1,285 12,1426075 12,1361825 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-25 9,4275 9,4225 1,2861 1,2861 12,12470775 12,11827725 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-26 9,4155 9,4105 1,2876 1,2876 12,1233978 12,1169598 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-27 9,4725 9,4675 1,297 1,297 12,2858325 12,2793475 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-28 9,4515 9,4465 1,3146 1,3146 12,4249419 12,4183689 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-07-29 9,3885 9,3835 1,3185 1,3185 12,37873725 12,37214475 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-01 9,3985 9,3935 1,3149 1,3149 12,35808765 12,35151315 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-02 9,3995 9,3945 1,319 1,319 12,3979405 12,3913455 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-03 9,3755 9,3705 1,3232 1,3232 12,4056616 12,3990456 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-04 9,3735 9,3685 1,3236 1,3236 12,4067646 12,4001466 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-05 9,3355 9,3305 1,3184 1,3184 12,3079232 12,3013312 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-08 9,3335 9,3285 1,3206 1,3206 12,3258201 12,3192171 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-09 9,3455 9,3405 1,3265 1,3265 12,39680575 12,39017325 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-10 9,3535 9,3485 1,3242 1,3242 12,3859047 12,3792837 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-11 9,3365 9,3315 1,3206 1,3206 12,3297819 12,3231789 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-12 9,3025 9,2975 1,321 1,321 12,2886025 12,2819975 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-15 9,3065 9,3015 1,3287 1,3287 12,36554655 12,35890305 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-16 9,2995 9,2945 1,3256 1,3256 12,3274172 12,3207892 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-17 9,3405 9,3355 1,3172 1,3172 12,3033066 12,2967206 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-18 9,3365 9,3315 1,3164 1,3164 12,2905686 12,2839866 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-19 9,3395 9,3345 1,3168 1,3168 12,2982536 12,2916696 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-22 9,3655 9,3605 1,3285 1,3285 12,44206675 12,43542425 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-23 9,3715 9,3665 1,3332 1,3332 12,4940838 12,4874178 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-24 9,3365 9,3315 1,3245 1,3245 12,36619425 12,35957175 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-25 9,3335 9,3285 1,3178 1,3178 12,2996863 12,2930973 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-26 9,3415 9,3365 1,3178 1,3178 12,3102287 12,3036397 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-29 9,3295 9,3245 1,3055 1,3055 12,17966225 12,17313475 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-30 9,3285 9,3235 1,3164 1,3164 12,2800374 12,2734554 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-08-31 9,3585 9,3535 1,3229 1,3229 12,38035965 12,37374515 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-01 9,3365 9,3315 1,3327 1,3327 12,44275355 12,43609005 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-02 9,3025 9,2975 1,3349 1,3349 12,41790725 12,41123275 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-05 9,2845 9,2795 1,3353 1,3353 12,39759285 12,39091635 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-06 9,3225 9,3175 1,3385 1,3385 12,47816625 12,47147375 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-07 9,3075 9,3025 1,3489 1,3489 12,55488675 12,54814225 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-08 9,3255 9,3205 1,3501 1,3501 12,59035755 12,58360705 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-09 9,3445 9,3395 1,3526 1,3526 12,6393707 12,6326077 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-12 9,3015 9,2965 1,3624 1,3624 12,6723636 12,6655516 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-13 9,3015 9,2965 1,3735 1,3735 12,77561025 12,76874275 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-14 9,3365 9,3315 1,3754 1,3754 12,8414221 12,8345451 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-15 9,3425 9,3375 1,3766 1,3766 12,8608855 12,8540025 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-16 9,3465 9,3415 1,3763 1,3763 12,86358795 12,85670645 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-19 9,3355 9,3305 1,3821 1,3821 12,90259455 12,89568405 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-20 9,3395 9,3345 1,3896 1,3896 12,9781692 12,9712212 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-21 9,3405 9,3355 1,3896 1,3896 12,9795588 12,9726108 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-22 9,3405 9,3355 1,3866 1,3866 12,9515373 12,9446043 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-23 9,3695 9,3645 1,3895 1,3895 13,01892025 13,01197275 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-26 9,3815 9,3765 1,394 1,394 13,077811 13,070841 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-27 9,3885 9,3835 1,3951 1,3951 13,09789635 13,09092085 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-28 9,3935 9,3885 1,3903 1,3903 13,05978305 13,05283155 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-29 9,3845 9,3795 1,3964 1,3964 13,1045158 13,0975338 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-09-30 9,3435 9,3385 1,4015 1,4015 13,09491525 13,08790775 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-03 9,3025 9,2975 1,4061 1,4061 13,08024525 13,07321475 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-04 9,3185 9,3135 1,4064 1,4064 13,1055384 13,0985064 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-05 9,3105 9,3055 1,3967 1,3967 13,00397535 12,99699185 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-06 9,3015 9,2965 1,3767 1,3767 12,80537505 12,79849155 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-07 9,3385 9,3335 1,3815 1,3815 12,90113775 12,89423025 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-10 9,3465 9,3415 1,3908 1,3908 12,9991122 12,9921582 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-11 9,3395 9,3345 1,3793 1,3793 12,88197235 12,87507585 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-12 9,3375 9,3325 1,3751 1,3751 12,83999625 12,83312075 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-13 9,3815 9,3765 1,3508 1,3508 12,6725302 12,6657762 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-14 9,4135 9,4085 1,3282 1,3282 12,5030107 12,4963697 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-17 9,4575 9,4525 1,3385 1,3385 12,65886375 12,65217125 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-18 9,4625 9,4575 1,3368 1,3368 12,64947 12,642786 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-19 9,4605 9,4555 1,3048 1,3048 12,3440604 12,3375364 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-20 9,4935 9,4885 1,3107 1,3107 12,44313045 12,43657695 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-21 9,4915 9,4865 1,286 1,286 12,206069 12,199639 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-24 9,5455 9,5405 1,2965 1,2965 12,37574075 12,36925825 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-25 9,5465 9,5415 1,3094 1,3094 12,5001871 12,4936401 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-26 9,4975 9,4925 1,3117 1,3117 12,45787075 12,45131225 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-27 9,5355 9,5305 1,3001 1,3001 12,39710355 12,39060305 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-28 9,5135 9,5085 1,2958 1,2958 12,3275933 12,3211143 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-10-31 9,5495 9,5445 1,3119 1,3119 12,52798905 12,52142955 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-01 9,5495 9,5445 1,3233 1,3233 12,63685335 12,63023685 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-02 9,5855 9,5805 1,3266 1,3266 12,7161243 12,7094913 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-03 9,6515 9,6465 1,3265 1,3265 12,80271475 12,79608225 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-04 9,5875 9,5825 1,3372 1,3372 12,820405 12,813719 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-07 9,6075 9,6025 1,3335 1,3335 12,81160125 12,80493375 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-08 9,5685 9,5635 1,3403 1,3403 12,82466055 12,81795905 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-09 9,5575 9,5525 1,3403 1,3403 12,80991725 12,80321575 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-10 9,6105 9,6055 1,3426 1,3426 12,9030573 12,8963443 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-11 9,6365 9,6315 1,3439 1,3439 12,95049235 12,94377285 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-14 9,5505 9,5455 1,3515 1,3515 12,90750075 12,90074325 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-15 9,5805 9,5755 1,3348 1,3348 12,7880514 12,7813774 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-16 9,6235 9,6185 1,3284 1,3284 12,7838574 12,7772154 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-17 9,6355 9,6305 1,3287 1,3287 12,80268885 12,79604535 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-18 9,6085 9,6035 1,3342 1,3342 12,8196607 12,8129897 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-21 9,5915 9,5865 1,3379 1,3379 12,83246785 12,82577835 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-22 9,5585 9,5535 1,3376 1,3376 12,7854496 12,7787616 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-23 9,5155 9,5105 1,3426 1,3426 12,7755103 12,7687973 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-24 9,5125 9,5075 1,3471 1,3471 12,81428875 12,80755325 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-25 9,4965 9,4915 1,3546 1,3546 12,8639589 12,8571859 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-28 9,4835 9,4785 1,3581 1,3581 12,87954135 12,87275085 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-29 9,4785 9,4735 1,3473 1,3473 12,77038305 12,76364655 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-11-30 9,5295 9,5245 1,3475 1,3475 12,84100125 12,83426375 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-01 9,5165 9,5115 1,3514 1,3514 12,8605981 12,8538411 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-02 9,4905 9,4855 1,3711 1,3711 13,01242455 13,00556905 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-05 9,4065 9,4015 1,3747 1,3747 12,93111555 12,92424205 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-07 9,4255 9,4205 1,3866 1,3866 13,0693983 13,0624653 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-08 9,3965 9,3915 1,3841 1,3841 13,00569565 12,99877515 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-12 9,4315 9,4265 1,3928 1,3928 13,1361932 13,1292292 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-13 9,4295 9,4245 1,3873 1,3873 13,08154535 13,07460885 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-14 9,4365 9,4315 1,3899 1,3899 13,11579135 13,10884185 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-15 9,4345 9,4295 1,3902 1,3902 13,1158419 13,1088909 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-16 9,4765 9,4715 1,3964 1,3964 13,2329846 13,2260026 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-19 9,4535 9,4485 1,397 1,397 13,2065395 13,1995545 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-20 9,4015 9,3965 1,3976 1,3976 13,1395364 13,1325484 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-21 9,4485 9,4435 1,4016 1,4016 13,2430176 13,2360096 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-22 9,4365 9,4315 1,4021 1,4021 13,23091665 13,22390615 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-23 9,4425 9,4375 1,4102 1,4102 13,3158135 13,3087625 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-27 9,4915 9,4865 1,4107 1,4107 13,38965905 13,38260555 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-28 9,4345 9,4295 1,4103 1,4103 13,30547535 13,29842385 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-29 9,4115 9,4065 1,4128 1,4128 13,2965672 13,2895032 182584 Aktia Fondbolag Ab Aktia Capital EUR 2005-12-30 9,4325 9,4275 1,4122 1,4122 13,3205765 13,3135155 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-03 9,0065 9,0015 0,6174 0,6174 5,5606131 5,5575261 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-04 9,0345 9,0295 0,6174 0,6174 5,5779003 5,5748133 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-05 9,0615 9,0565 0,6172 0,6172 5,5927578 5,5896718 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-07 9,0615 9,0565 0,6187 0,6187 5,60635005 5,60325655 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-10 9,08619 9,08119 0,6231 0,6231 5,661604989 5,658489489 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-11 9,08619 9,08119 0,6242 0,6242 5,671599798 5,668478798 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-12 9,0455 9,0405 0,6193 0,6193 5,60187815 5,59878165 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-13 9,0505 9,0455 0,6187 0,6187 5,59954435 5,59645085 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-14 9,0455 9,0405 0,615 0,615 5,5629825 5,5599075 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-17 9,0685 9,0635 0,6177 0,6177 5,60161245 5,59852395 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-18 9,0585 9,0535 0,6174 0,6174 5,5927179 5,5896309 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-19 9,0225 9,0175 0,6218 0,6218 5,6101905 5,6070815 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-20 9,0315 9,0265 0,6213 0,6213 5,61127095 5,60816445 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-21 9,0505 9,0455 0,6185 0,6185 5,59773425 5,59464175 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-24 9,0655 9,0605 0,6119 0,6119 5,54717945 5,54411995 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-25 9,0715 9,0665 0,6088 0,6088 5,5227292 5,5196852 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-26 9,0885 9,0835 0,6129 0,6129 5,57034165 5,56727715 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-27 9,0675 9,0625 0,6141 0,6141 5,56835175 5,56528125 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-28 9,0955 9,0905 0,6134 0,6134 5,5791797 5,5761127 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-01-31 9,1075 9,1025 0,6088 0,6088 5,544646 5,541602 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-01 9,1035 9,0985 0,6084 0,6084 5,5385694 5,5355274 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-02 9,0905 9,0855 0,6086 0,6086 5,5324783 5,5294353 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-03 9,0695 9,0645 0,6133 0,6133 5,56232435 5,55925785 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-04 9,0895 9,0845 0,6146 0,6146 5,5864067 5,5833337 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-07 9,0755 9,0705 0,6235 0,6235 5,65857425 5,65545675 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-08 9,0895 9,0845 0,6275 0,6275 5,70366125 5,70052375 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-09 9,0695 9,0645 0,6286 0,6286 5,7010877 5,6979447 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-10 9,0805 9,0755 0,6223 0,6223 5,65079515 5,64768365 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-11 9,0935 9,0885 0,6208 0,6208 5,6452448 5,6421408 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-14 9,1105 9,1055 0,6233 0,6233 5,67857465 5,67545815 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-15 9,0765 9,0715 0,6244 0,6244 5,6673666 5,6642446 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-16 9,0705 9,0655 0,6214 0,6214 5,6364087 5,6333017 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-17 9,0925 9,0875 0,6186 0,6186 5,6246205 5,6215275 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-18 9,0945 9,0895 0,6176 0,6176 5,6167632 5,6136752 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-21 9,1185 9,1135 0,6286 0,6286 5,7318891 5,7287461 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-22 9,0975 9,0925 0,6248 0,6248 5,684118 5,680994 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-23 9,1045 9,0995 0,6162 0,6162 5,6101929 5,6071119 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-24 9,0715 9,0665 0,6142 0,6142 5,5717153 5,5686443 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-25 9,0845 9,0795 0,6215 0,6215 5,64601675 5,64290925 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-02-28 9,0505 9,0455 0,624 0,624 5,647512 5,644392 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-01 9,0565 9,0515 0,6135 0,6135 5,55616275 5,55309525 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-02 9,0645 9,0595 0,6218 0,6218 5,6363061 5,6331971 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-03 9,0675 9,0625 0,6224 0,6224 5,643612 5,6405 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-04 9,0415 9,0365 0,622 0,622 5,623813 5,620703 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-07 9,0425 9,0375 0,6181 0,6181 5,58916925 5,58607875 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-08 9,0345 9,0295 0,6171 0,6171 5,57518995 5,57210445 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-09 9,0365 9,0315 0,6119 0,6119 5,52943435 5,52637485 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-10 9,0655 9,0605 0,6061 0,6061 5,49459955 5,49156905 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-11 9,0795 9,0745 0,6072 0,6072 5,5130724 5,5100364 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-14 9,0695 9,0645 0,6022 0,6022 5,4616529 5,4586419 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-15 9,1035 9,0985 0,6105 0,6105 5,55768675 5,55463425 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-16 9,0975 9,0925 0,6057 0,6057 5,51035575 5,50732725 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-17 9,1045 9,0995 0,6005 0,6005 5,46725225 5,46424975 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-18 9,1035 9,0985 0,6041 0,6041 5,49942435 5,49640385 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-21 9,1265 9,1215 0,6044 0,6044 5,5160566 5,5130346 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-22 9,1265 9,1215 0,6049 0,6049 5,52061985 5,51759535 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-23 9,1165 9,1115 0,6085 0,6085 5,54739025 5,54434775 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-24 9,1135 9,1085 0,616 0,616 5,613916 5,610836 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-29 9,1315 9,1265 0,6166 0,6166 5,6304829 5,6273999 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-30 9,1425 9,1375 0,6144 0,6144 5,617152 5,61408 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-03-31 9,1405 9,1355 0,6184 0,6184 5,6524852 5,6493932 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-01 9,1645 9,1595 0,6153 0,6153 5,63891685 5,63584035 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-04 9,1695 9,1645 0,6137 0,6137 5,62732215 5,62425365 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-05 9,1745 9,1695 0,619 0,619 5,6790155 5,6759205 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-06 9,1705 9,1655 0,6262 0,6262 5,7425671 5,7394361 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-07 9,1505 9,1455 0,6276 0,6276 5,7428538 5,7397158 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-08 9,1625 9,1575 0,6345 0,6345 5,81360625 5,81043375 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-11 9,1705 9,1655 0,6256 0,6256 5,7370648 5,7339368 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-12 9,1525 9,1475 0,6261 0,6261 5,73038025 5,72724975 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-13 9,1495 9,1445 0,6312 0,6312 5,7751644 5,7720084 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-14 9,1685 9,1635 0,6393 0,6393 5,86142205 5,85822555 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-15 9,1925 9,1875 0,6389 0,6389 5,87308825 5,86989375 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-18 9,1805 9,1755 0,6355 0,6355 5,83420775 5,83103025 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-19 9,2035 9,1985 0,6341 0,6341 5,83593935 5,83276885 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-20 9,1915 9,1865 0,6331 0,6331 5,81913865 5,81597315 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-21 9,1855 9,1805 0,6252 0,6252 5,7427746 5,7396486 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-22 9,1625 9,1575 0,6301 0,6301 5,77329125 5,77014075 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-25 9,1685 9,1635 0,6329 0,6329 5,80274365 5,79957915 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-26 9,1375 9,1325 0,6324 0,6324 5,778555 5,775393 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-27 9,1465 9,1415 0,6351 0,6351 5,80894215 5,80576665 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-28 9,1505 9,1455 0,639 0,639 5,8471695 5,8439745 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-04-29 9,1705 9,1655 0,6343 0,6343 5,81684815 5,81367665 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-02 9,1935 9,1885 0,6427 0,6427 5,90866245 5,90544895 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-03 9,2245 9,2195 0,6462 0,6462 5,9608719 5,9576409 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-04 9,1915 9,1865 0,6465 0,6465 5,94230475 5,93907225 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-06 9,1715 9,1665 0,6533 0,6533 5,99174095 5,98847445 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-09 9,1815 9,1765 0,6557 0,6557 6,02030955 6,01703105 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-10 9,1985 9,1935 0,6582 0,6582 6,0544527 6,0511617 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-11 9,2105 9,2055 0,6552 0,6552 6,0347196 6,0314436 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-12 9,2315 9,2265 0,6613 0,6613 6,10479095 6,10148445 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-13 9,2045 9,1995 0,6643 0,6643 6,11454935 6,11122785 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-16 9,2145 9,2095 0,6612 0,6612 6,0926274 6,0893214 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-17 9,2325 9,2275 0,6635 0,6635 6,12576375 6,12244625 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-18 9,2095 9,2045 0,6638 0,6638 6,1132661 6,1099471 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-19 9,1905 9,1855 0,6656 0,6656 6,1171968 6,1138688 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-20 9,1955 9,1905 0,6666 0,6666 6,1297203 6,1263873 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-23 9,1805 9,1755 0,6683 0,6683 6,13532815 6,13198665 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-24 9,1815 9,1765 0,6686 0,6686 6,1387509 6,1354079 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-25 9,1785 9,1735 0,6722 0,6722 6,1697877 6,1664267 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-26 9,1945 9,1895 0,6717 0,6717 6,17594565 6,17258715 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-27 9,1955 9,1905 0,6738 0,6738 6,1959279 6,1925589 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-30 9,1905 9,1855 0,6762 0,6762 6,2146161 6,2112351 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-05-31 9,1665 9,1615 0,6818 0,6818 6,2497197 6,2463107 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-01 9,1455 9,1405 0,6833 0,6833 6,24912015 6,24570365 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-02 9,1565 9,1515 0,6862 0,6862 6,2831903 6,2797593 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-03 9,1315 9,1265 0,6852 0,6852 6,2569038 6,2534778 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-07 9,1455 9,1405 0,6802 0,6802 6,2207691 6,2173681 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-08 9,1455 9,1405 0,6775 0,6775 6,19607625 6,19268875 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-09 9,1965 9,1915 0,6766 0,6766 6,2223519 6,2189689 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-10 9,1975 9,1925 0,6811 0,6811 6,26441725 6,26101175 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-13 9,2365 9,2315 0,6865 0,6865 6,34085725 6,33742475 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-14 9,2985 9,2935 0,6864 0,6864 6,3824904 6,3790584 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-15 9,2695 9,2645 0,6906 0,6906 6,4015167 6,3980637 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-16 9,2695 9,2645 0,6863 0,6863 6,36165785 6,35822635 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-17 9,2695 9,2645 0,6872 0,6872 6,3700004 6,3665644 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-20 9,2255 9,2205 0,6876 0,6876 6,3434538 6,3400158 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-21 9,2725 9,2675 0,6949 0,6949 6,44346025 6,43998575 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-22 9,2615 9,2565 0,694 0,694 6,427481 6,424011 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-23 9,3535 9,3485 0,6932 0,6932 6,4838462 6,4803802 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-27 9,3855 9,3805 0,6804 0,6804 6,3858942 6,3824922 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-28 9,3995 9,3945 0,6807 0,6807 6,39823965 6,39483615 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-29 9,4215 9,4165 0,6889 0,6889 6,49047135 6,48702685 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-06-30 9,4415 9,4365 0,6866 0,6866 6,4825339 6,4791009 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-01 9,4595 9,4545 0,6834 0,6834 6,4646223 6,4612053 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-04 9,4795 9,4745 0,6904 0,6904 6,5446468 6,5411948 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-05 9,4575 9,4525 0,6917 0,6917 6,54175275 6,53829425 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-06 9,4195 9,4145 0,6956 0,6956 6,5522042 6,5487262 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-07 9,3965 9,3915 0,6874 0,6874 6,4591541 6,4557171 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-08 9,4175 9,4125 0,6947 0,6947 6,54233725 6,53886375 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-11 9,4665 9,4615 0,7002 0,7002 6,6284433 6,6249423 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-12 9,4645 9,4595 0,6956 0,6956 6,5835062 6,5800282 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-13 9,3915 9,3865 0,6951 0,6951 6,52803165 6,52455615 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-14 9,3675 9,3625 0,6982 0,6982 6,5403885 6,5368975 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-15 9,4055 9,4005 0,7038 0,7038 6,6195909 6,6160719 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-18 9,3895 9,3845 0,7065 0,7065 6,63368175 6,63014925 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-19 9,4425 9,4375 0,7056 0,7056 6,662628 6,6591 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-20 9,4265 9,4215 0,7038 0,7038 6,6343707 6,6308517 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-21 9,4625 9,4575 0,7116 0,7116 6,733515 6,729957 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-22 9,4495 9,4445 0,7055 0,7055 6,66662225 6,66309475 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-25 9,4275 9,4225 0,7067 0,7067 6,66241425 6,65888075 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-26 9,4155 9,4105 0,7069 0,7069 6,65581695 6,65228245 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-27 9,4725 9,4675 0,7086 0,7086 6,7122135 6,7086705 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-28 9,4515 9,4465 0,708 0,708 6,691662 6,688122 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-07-29 9,3885 9,3835 0,7141 0,7141 6,70432785 6,70075735 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-01 9,3985 9,3935 0,7061 0,7061 6,63628085 6,63275035 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-02 9,3995 9,3945 0,7099 0,7099 6,67270505 6,66915555 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-03 9,3755 9,3705 0,71 0,71 6,656605 6,653055 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-04 9,3735 9,3685 0,7086 0,7086 6,6420621 6,6385191 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-05 9,3355 9,3305 0,7011 0,7011 6,54511905 6,54161355 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-08 9,3335 9,3285 0,6971 0,6971 6,50638285 6,50289735 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-09 9,3455 9,3405 0,6933 0,6933 6,47923515 6,47576865 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-10 9,3535 9,3485 0,6994 0,6994 6,5418379 6,5383409 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-11 9,3365 9,3315 0,6978 0,6978 6,5150097 6,5115207 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-12 9,3025 9,2975 0,7008 0,7008 6,519192 6,515688 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-15 9,3065 9,3015 0,7004 0,7004 6,5182726 6,5147706 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-16 9,2995 9,2945 0,705 0,705 6,5561475 6,5526225 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-17 9,3405 9,3355 0,7004 0,7004 6,5420862 6,5385842 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-18 9,3365 9,3315 0,7036 0,7036 6,5691614 6,5656434 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-19 9,3395 9,3345 0,7058 0,7058 6,5918191 6,5882901 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-22 9,3655 9,3605 0,7012 0,7012 6,5670886 6,5635826 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-23 9,3715 9,3665 0,6994 0,6994 6,5544271 6,5509301 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-24 9,3365 9,3315 0,6962 0,6962 6,5000713 6,4965903 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-25 9,3335 9,3285 0,6915 0,6915 6,45411525 6,45065775 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-26 9,3415 9,3365 0,6929 0,6929 6,47272535 6,46926085 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-29 9,3295 9,3245 0,6888 0,6888 6,4261596 6,4227156 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-30 9,3285 9,3235 0,7001 0,7001 6,53088285 6,52738235 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-08-31 9,3585 9,3535 0,6998 0,6998 6,5490783 6,5455793 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-01 9,3365 9,3315 0,6998 0,6998 6,5336827 6,5301837 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-02 9,3025 9,2975 0,6971 0,6971 6,48477275 6,48128725 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-05 9,2845 9,2795 0,6979 0,6979 6,47965255 6,47616305 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-06 9,3225 9,3175 0,7017 0,7017 6,54159825 6,53808975 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-07 9,3075 9,3025 0,7091 0,7091 6,59994825 6,59640275 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-08 9,3255 9,3205 0,7123 0,7123 6,64255365 6,63899215 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-09 9,3445 9,3395 0,7139 0,7139 6,67103855 6,66746905 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-12 9,3015 9,2965 0,7212 0,7212 6,7082418 6,7046358 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-13 9,3015 9,2965 0,7204 0,7204 6,7008006 6,6971986 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-14 9,3365 9,3315 0,7137 0,7137 6,66346005 6,65989155 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-15 9,3425 9,3375 0,7145 0,7145 6,67521625 6,67164375 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-16 9,3465 9,3415 0,714 0,714 6,673401 6,669831 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-19 9,3355 9,3305 0,7213 0,7213 6,73369615 6,73008965 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-20 9,3395 9,3345 0,7167 0,7167 6,69361965 6,69003615 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-21 9,3405 9,3355 0,7111 0,7111 6,64202955 6,63847405 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-22 9,3405 9,3355 0,7077 0,7077 6,61027185 6,60673335 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-23 9,3695 9,3645 0,7136 0,7136 6,6860752 6,6825072 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-26 9,3815 9,3765 0,7183 0,7183 6,73873145 6,73513995 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-27 9,3885 9,3835 0,7167 0,7167 6,72873795 6,72515445 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-28 9,3935 9,3885 0,7115 0,7115 6,68347525 6,67991775 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-29 9,3845 9,3795 0,7102 0,7102 6,6648719 6,6613209 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-09-30 9,3435 9,3385 0,7128 0,7128 6,6600468 6,6564828 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-03 9,3025 9,2975 0,7219 0,7219 6,71547475 6,71186525 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-04 9,3185 9,3135 0,7229 0,7229 6,73634365 6,73272915 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-05 9,3105 9,3055 0,7261 0,7261 6,76035405 6,75672355 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-06 9,3015 9,2965 0,7118 0,7118 6,6208077 6,6172487 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-07 9,3385 9,3335 0,702 0,702 6,555627 6,552117 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-10 9,3465 9,3415 0,7039 0,7039 6,57900135 6,57548185 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-11 9,3395 9,3345 0,7075 0,7075 6,60769625 6,60415875 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-12 9,3375 9,3325 0,7009 0,7009 6,54465375 6,54114925 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-13 9,3815 9,3765 0,7007 0,7007 6,57361705 6,57011355 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-14 9,4135 9,4085 0,7038 0,7038 6,6252213 6,6217023 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-17 9,4575 9,4525 0,7048 0,7048 6,665646 6,662122 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-18 9,4625 9,4575 0,7075 0,7075 6,69471875 6,69118125 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-19 9,4605 9,4555 0,7065 0,7065 6,68384325 6,68031075 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-20 9,4935 9,4885 0,7111 0,7111 6,75082785 6,74727235 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-21 9,4915 9,4865 0,6973 0,6973 6,61842295 6,61493645 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-24 9,5455 9,5405 0,6974 0,6974 6,6570317 6,6535447 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-25 9,5465 9,5415 0,6995 0,6995 6,67777675 6,67427925 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-26 9,4975 9,4925 0,6942 0,6942 6,5931645 6,5896935 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-27 9,5355 9,5305 0,6885 0,6885 6,56519175 6,56174925 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-28 9,5135 9,5085 0,679 0,679 6,4596665 6,4562715 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-10-31 9,5495 9,5445 0,6922 0,6922 6,6101639 6,6067029 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-01 9,5495 9,5445 0,6982 0,6982 6,6674609 6,6639699 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-02 9,5855 9,5805 0,6956 0,6956 6,6676738 6,6641958 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-03 9,6515 9,6465 0,6984 0,6984 6,7406076 6,7371156 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-04 9,5875 9,5825 0,7086 0,7086 6,7937025 6,7901595 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-07 9,6075 9,6025 0,7177 0,7177 6,89530275 6,89171425 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-08 9,5685 9,5635 0,7252 0,7252 6,9390762 6,9354502 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-09 9,5575 9,5525 0,7237 0,7237 6,91676275 6,91314425 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-10 9,6105 9,6055 0,7239 0,7239 6,95704095 6,95342145 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-11 9,6365 9,6315 0,7324 0,7324 7,0577726 7,0541106 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-14 9,5505 9,5455 0,7331 0,7331 7,00147155 6,99780605 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-15 9,5805 9,5755 0,7302 0,7302 6,9956811 6,9920301 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-16 9,6235 9,6185 0,7283 0,7283 7,00879505 7,00515355 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-17 9,6355 9,6305 0,7278 0,7278 7,0127169 7,0090779 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-18 9,6085 9,6035 0,7287 0,7287 7,00171395 6,99807045 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-21 9,5915 9,5865 0,7225 0,7225 6,92985875 6,92624625 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-22 9,5585 9,5535 0,7307 0,7307 6,98439595 6,98074245 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-23 9,5155 9,5105 0,7262 0,7262 6,9101561 6,9065251 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-24 9,5125 9,5075 0,7249 0,7249 6,89561125 6,89198675 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-25 9,4965 9,4915 0,7265 0,7265 6,89920725 6,89557475 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-28 9,4835 9,4785 0,73 0,73 6,922955 6,919305 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-29 9,4785 9,4735 0,7193 0,7193 6,81788505 6,81428855 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-11-30 9,5295 9,5245 0,7169 0,7169 6,83169855 6,82811405 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-01 9,5165 9,5115 0,719 0,719 6,8423635 6,8387685 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-02 9,4905 9,4855 0,7275 0,7275 6,90433875 6,90070125 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-05 9,4065 9,4015 0,7263 0,7263 6,83194095 6,82830945 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-07 9,4255 9,4205 0,7248 0,7248 6,8316024 6,8279784 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-08 9,3965 9,3915 0,7199 0,7199 6,76454035 6,76094085 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-12 9,4315 9,4265 0,7156 0,7156 6,7491814 6,7456034 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-13 9,4295 9,4245 0,7152 0,7152 6,7439784 6,7404024 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-14 9,4365 9,4315 0,7174 0,7174 6,7697451 6,7661581 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-15 9,4345 9,4295 0,717 0,717 6,7645365 6,7609515 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-16 9,4765 9,4715 0,7221 0,7221 6,84298065 6,83937015 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-19 9,4535 9,4485 0,7228 0,7228 6,8329898 6,8293758 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-20 9,4015 9,3965 0,729 0,729 6,8536935 6,8500485 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-21 9,4485 9,4435 0,7318 0,7318 6,9144123 6,9107533 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-22 9,4365 9,4315 0,7361 0,7361 6,94620765 6,94252715 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-23 9,4425 9,4375 0,739 0,739 6,9780075 6,9743125 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-27 9,4915 9,4865 0,7404 0,7404 7,0275066 7,0238046 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-28 9,4345 9,4295 0,7341 0,7341 6,92586645 6,92219595 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-29 9,4115 9,4065 0,7374 0,7374 6,9400401 6,9363531 231753 Aktia Fondbolag Ab Aktia Medica EUR 2005-12-30 9,4325 9,4275 0,7344 0,7344 6,927228 6,923556 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-03 1 1 76,04 76,04 76,04 76,04 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-04 1 1 76,2 76,2 76,2 76,2 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-05 1 1 75,86 75,86 75,86 75,86 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-07 1 1 76,45 76,45 76,45 76,45 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-10 1 1 76,77 76,77 76,77 76,77 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-11 1 1 76,24 76,24 76,24 76,24 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-12 1 1 75,74 75,74 75,74 75,74 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-13 1 1 75,71 75,71 75,71 75,71 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-14 1 1 76,15 76,15 76,15 76,15 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-17 1 1 76,52 76,52 76,52 76,52 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-18 1 1 76,34 76,34 76,34 76,34 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-19 1 1 76,65 76,65 76,65 76,65 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-20 1 1 76,05 76,05 76,05 76,05 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-21 1 1 76,29 76,29 76,29 76,29 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-24 1 1 76,12 76,12 76,12 76,12 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-25 1 1 76,74 76,74 76,74 76,74 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-26 1 1 76,99 76,99 76,99 76,99 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-27 1 1 76,95 76,95 76,95 76,95 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-28 1 1 76,92 76,92 76,92 76,92 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-01-31 1 1 77,24 77,24 77,24 77,24 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-01 1 1 77,53 77,53 77,53 77,53 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-02 1 1 77,94 77,94 77,94 77,94 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-03 1 1 77,74 77,74 77,74 77,74 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-04 1 1 78,29 78,29 78,29 78,29 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-07 1 1 78,97 78,97 78,97 78,97 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-08 1 1 78,89 78,89 78,89 78,89 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-09 1 1 79,07 79,07 79,07 79,07 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-10 1 1 79,39 79,39 79,39 79,39 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-11 1 1 79,94 79,94 79,94 79,94 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-14 1 1 78,76 78,76 78,76 78,76 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-15 1 1 78,99 78,99 78,99 78,99 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-16 1 1 78,52 78,52 78,52 78,52 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-17 1 1 79,24 79,24 79,24 79,24 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-18 1 1 78,92 78,92 78,92 78,92 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-21 1 1 79,26 79,26 79,26 79,26 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-22 1 1 78,33 78,33 78,33 78,33 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-23 1 1 77,97 77,97 77,97 77,97 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-24 1 1 78,03 78,03 78,03 78,03 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-25 1 1 78,58 78,58 78,58 78,58 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-02-28 1 1 79,01 79,01 79,01 79,01 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-01 1 1 79,05 79,05 79,05 79,05 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-02 1 1 79,14 79,14 79,14 79,14 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-03 1 1 79,4 79,4 79,4 79,4 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-04 1 1 79,68 79,68 79,68 79,68 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-07 1 1 79,55 79,55 79,55 79,55 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-08 1 1 79,32 79,32 79,32 79,32 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-09 1 1 79,1 79,1 79,1 79,1 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-10 1 1 78,56 78,56 78,56 78,56 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-11 1 1 78,59 78,59 78,59 78,59 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-14 1 1 78,49 78,49 78,49 78,49 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-15 1 1 79,11 79,11 79,11 79,11 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-16 1 1 78,26 78,26 78,26 78,26 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-17 1 1 78,28 78,28 78,28 78,28 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-18 1 1 78,65 78,65 78,65 78,65 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-21 1 1 78,91 78,91 78,91 78,91 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-22 1 1 78,52 78,52 78,52 78,52 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-23 1 1 78,07 78,07 78,07 78,07 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-24 1 1 78,24 78,24 78,24 78,24 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-29 1 1 78,52 78,52 78,52 78,52 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-30 1 1 78,21 78,21 78,21 78,21 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-03-31 1 1 78,85 78,85 78,85 78,85 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-01 1 1 79,4 79,4 79,4 79,4 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-04 1 1 79,24 79,24 79,24 79,24 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-05 1 1 79,76 79,76 79,76 79,76 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-06 1 1 79,7 79,7 79,7 79,7 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-07 1 1 80,09 80,09 80,09 80,09 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-08 1 1 80,57 80,57 80,57 80,57 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-11 1 1 80,33 80,33 80,33 80,33 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-12 1 1 80,12 80,12 80,12 80,12 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-13 1 1 80,38 80,38 80,38 80,38 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-14 1 1 80,42 80,42 80,42 80,42 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-15 1 1 79,49 79,49 79,49 79,49 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-18 1 1 77,99 77,99 77,99 77,99 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-19 1 1 78,54 78,54 78,54 78,54 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-20 1 1 78,12 78,12 78,12 78,12 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-21 1 1 78,11 78,11 78,11 78,11 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-22 1 1 78,35 78,35 78,35 78,35 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-25 1 1 78,64 78,64 78,64 78,64 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-26 1 1 78,16 78,16 78,16 78,16 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-27 1 1 77,29 77,29 77,29 77,29 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-28 1 1 76,81 76,81 76,81 76,81 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-04-29 1 1 77,82 77,82 77,82 77,82 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-02 1 1 78,17 78,17 78,17 78,17 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-03 1 1 78,49 78,49 78,49 78,49 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-04 1 1 78,22 78,22 78,22 78,22 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-06 1 1 79,42 79,42 79,42 79,42 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-09 1 1 79,38 79,38 79,38 79,38 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-10 1 1 79,37 79,37 79,37 79,37 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-11 1 1 79,34 79,34 79,34 79,34 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-12 1 1 79,33 79,33 79,33 79,33 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-13 1 1 78,88 78,88 78,88 78,88 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-16 1 1 78,9 78,9 78,9 78,9 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-17 1 1 78,98 78,98 78,98 78,98 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-18 1 1 79,6 79,6 79,6 79,6 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-19 1 1 79,98 79,98 79,98 79,98 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-20 1 1 79,9 79,9 79,9 79,9 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-23 1 1 80,05 80,05 80,05 80,05 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-24 1 1 80,2 80,2 80,2 80,2 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-25 1 1 80,49 80,49 80,49 80,49 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-26 1 1 81,23 81,23 81,23 81,23 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-27 1 1 81,35 81,35 81,35 81,35 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-30 1 1 81,47 81,47 81,47 81,47 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-05-31 1 1 81,5 81,5 81,5 81,5 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-01 1 1 81,98 81,98 81,98 81,98 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-02 1 1 82,39 82,39 82,39 82,39 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-03 1 1 82,22 82,22 82,22 82,22 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-07 1 1 82,99 82,99 82,99 82,99 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-08 1 1 83,68 83,68 83,68 83,68 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-09 1 1 83,52 83,52 83,52 83,52 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-10 1 1 84,62 84,62 84,62 84,62 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-13 1 1 84,72 84,72 84,72 84,72 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-14 1 1 85,29 85,29 85,29 85,29 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-15 1 1 85,01 85,01 85,01 85,01 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-16 1 1 85,24 85,24 85,24 85,24 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-17 1 1 85,59 85,59 85,59 85,59 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-20 1 1 85,25 85,25 85,25 85,25 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-21 1 1 85,61 85,61 85,61 85,61 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-22 1 1 86,22 86,22 86,22 86,22 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-23 1 1 87,04 87,04 87,04 87,04 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-27 1 1 86,47 86,47 86,47 86,47 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-28 1 1 87,16 87,16 87,16 87,16 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-29 1 1 87,9 87,9 87,9 87,9 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-06-30 1 1 87,77 87,77 87,77 87,77 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-01 1 1 88,67 88,67 88,67 88,67 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-04 1 1 89,48 89,48 89,48 89,48 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-05 1 1 88,69 88,69 88,69 88,69 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-06 1 1 89,23 89,23 89,23 89,23 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-07 1 1 87,84 87,84 87,84 87,84 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-08 1 1 89,26 89,26 89,26 89,26 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-11 1 1 90,09 90,09 90,09 90,09 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-12 1 1 89,61 89,61 89,61 89,61 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-13 1 1 89,6 89,6 89,6 89,6 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-14 1 1 90,31 90,31 90,31 90,31 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-15 1 1 89,67 89,67 89,67 89,67 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-18 1 1 89,34 89,34 89,34 89,34 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-19 1 1 89,69 89,69 89,69 89,69 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-20 1 1 89,41 89,41 89,41 89,41 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-21 1 1 89,55 89,55 89,55 89,55 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-22 1 1 89,36 89,36 89,36 89,36 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-25 1 1 89,73 89,73 89,73 89,73 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-26 1 1 90,4 90,4 90,4 90,4 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-27 1 1 90,54 90,54 90,54 90,54 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-28 1 1 90,5 90,5 90,5 90,5 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-07-29 1 1 90,74 90,74 90,74 90,74 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-01 1 1 90,72 90,72 90,72 90,72 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-02 1 1 91,11 91,11 91,11 91,11 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-03 1 1 91,09 91,09 91,09 91,09 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-04 1 1 90,09 90,09 90,09 90,09 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-05 1 1 90,12 90,12 90,12 90,12 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-08 1 1 90,48 90,48 90,48 90,48 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-09 1 1 91,01 91,01 91,01 91,01 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-10 1 1 91,62 91,62 91,62 91,62 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-11 1 1 91,27 91,27 91,27 91,27 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-12 1 1 91,31 91,31 91,31 91,31 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-15 1 1 91,35 91,35 91,35 91,35 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-16 1 1 91,22 91,22 91,22 91,22 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-17 1 1 90,76 90,76 90,76 90,76 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-18 1 1 90,55 90,55 90,55 90,55 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-19 1 1 91,53 91,53 91,53 91,53 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-22 1 1 92,21 92,21 92,21 92,21 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-23 1 1 91,39 91,39 91,39 91,39 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-24 1 1 90,37 90,37 90,37 90,37 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-25 1 1 90,3 90,3 90,3 90,3 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-26 1 1 89,7 89,7 89,7 89,7 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-29 1 1 90,08 90,08 90,08 90,08 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-30 1 1 90,45 90,45 90,45 90,45 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-08-31 1 1 91,33 91,33 91,33 91,33 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-01 1 1 92,37 92,37 92,37 92,37 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-02 1 1 91,59 91,59 91,59 91,59 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-05 1 1 91,82 91,82 91,82 91,82 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-06 1 1 92,67 92,67 92,67 92,67 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-07 1 1 93,06 93,06 93,06 93,06 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-08 1 1 92,84 92,84 92,84 92,84 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-09 1 1 93,4 93,4 93,4 93,4 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-12 1 1 93,54 93,54 93,54 93,54 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-13 1 1 93,08 93,08 93,08 93,08 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-14 1 1 93,42 93,42 93,42 93,42 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-15 1 1 93,78 93,78 93,78 93,78 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-16 1 1 94,14 94,14 94,14 94,14 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-19 1 1 94,72 94,72 94,72 94,72 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-20 1 1 94,89 94,89 94,89 94,89 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-21 1 1 94,43 94,43 94,43 94,43 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-22 1 1 94,28 94,28 94,28 94,28 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-23 1 1 94,65 94,65 94,65 94,65 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-26 1 1 95 95 95 95 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-27 1 1 95,04 95,04 95,04 95,04 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-28 1 1 95,4 95,4 95,4 95,4 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-29 1 1 95,11 95,11 95,11 95,11 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-09-30 1 1 94,93 94,93 94,93 94,93 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-03 1 1 95,79 95,79 95,79 95,79 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-04 1 1 95,39 95,39 95,39 95,39 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-05 1 1 94,73 94,73 94,73 94,73 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-06 1 1 92,5 92,5 92,5 92,5 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-07 1 1 92,62 92,62 92,62 92,62 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-10 1 1 92,86 92,86 92,86 92,86 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-11 1 1 92,98 92,98 92,98 92,98 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-12 1 1 93,07 93,07 93,07 93,07 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-13 1 1 91,4 91,4 91,4 91,4 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-14 1 1 91,88 91,88 91,88 91,88 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-17 1 1 92,33 92,33 92,33 92,33 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-18 1 1 91,3 91,3 91,3 91,3 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-19 1 1 90,17 90,17 90,17 90,17 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-20 1 1 91,24 91,24 91,24 91,24 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-21 1 1 90,28 90,28 90,28 90,28 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-24 1 1 91,98 91,98 91,98 91,98 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-25 1 1 91,88 91,88 91,88 91,88 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-26 1 1 92,25 92,25 92,25 92,25 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-27 1 1 91,81 91,81 91,81 91,81 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-28 1 1 91,64 91,64 91,64 91,64 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-10-31 1 1 93,68 93,68 93,68 93,68 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-01 1 1 94,4 94,4 94,4 94,4 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-02 1 1 94,59 94,59 94,59 94,59 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-03 1 1 96,51 96,51 96,51 96,51 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-04 1 1 96,38 96,38 96,38 96,38 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-07 1 1 96,35 96,35 96,35 96,35 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-08 1 1 95,52 95,52 95,52 95,52 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-09 1 1 95,91 95,91 95,91 95,91 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-10 1 1 96,33 96,33 96,33 96,33 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-11 1 1 95,8 95,8 95,8 95,8 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-14 1 1 96,38 96,38 96,38 96,38 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-15 1 1 96,09 96,09 96,09 96,09 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-16 1 1 95,62 95,62 95,62 95,62 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-17 1 1 96,44 96,44 96,44 96,44 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-18 1 1 96,5 96,5 96,5 96,5 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-21 1 1 96,25 96,25 96,25 96,25 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-22 1 1 96,94 96,94 96,94 96,94 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-23 1 1 96,51 96,51 96,51 96,51 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-24 1 1 96,32 96,32 96,32 96,32 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-25 1 1 96,48 96,48 96,48 96,48 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-28 1 1 96,07 96,07 96,07 96,07 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-29 1 1 96,08 96,08 96,08 96,08 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-11-30 1 1 95,6 95,6 95,6 95,6 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-01 1 1 96,67 96,67 96,67 96,67 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-02 1 1 97,23 97,23 97,23 97,23 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-05 1 1 97,53 97,53 97,53 97,53 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-06 1 1 97,29 97,29 97,29 97,29 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-07 1 1 97,76 97,76 97,76 97,76 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-08 1 1 97,51 97,51 97,51 97,51 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-12 1 1 97,91 97,91 97,91 97,91 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-13 1 1 98,21 98,21 98,21 98,21 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-14 1 1 98,07 98,07 98,07 98,07 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-15 1 1 97,52 97,52 97,52 97,52 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-16 1 1 97,9 97,9 97,9 97,9 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-19 1 1 97,28 97,28 97,28 97,28 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-20 1 1 97,35 97,35 97,35 97,35 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-21 1 1 98,29 98,29 98,29 98,29 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-22 1 1 98,65 98,65 98,65 98,65 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-23 1 1 98,73 98,73 98,73 98,73 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-27 1 1 99,15 99,15 99,15 99,15 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-28 1 1 98,59 98,59 98,59 98,59 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-29 1 1 98,91 98,91 98,91 98,91 273078 Aktie-Ansvar AB Aktie-Ansvar Europa SEK 2005-12-30 1 1 98,37 98,37 98,37 98,37 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-03 1 1 196,17 196,17 196,17 196,17 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-04 1 1 196,82 196,82 196,82 196,82 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-05 1 1 195,22 195,22 195,22 195,22 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-07 1 1 196,14 196,14 196,14 196,14 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-10 1 1 198,55 198,55 198,55 198,55 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-11 1 1 197,29 197,29 197,29 197,29 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-12 1 1 194,15 194,15 194,15 194,15 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-13 1 1 194,56 194,56 194,56 194,56 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-14 1 1 195,37 195,37 195,37 195,37 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-17 1 1 196,93 196,93 196,93 196,93 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-18 1 1 195,56 195,56 195,56 195,56 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-19 1 1 196,89 196,89 196,89 196,89 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-20 1 1 195,43 195,43 195,43 195,43 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-21 1 1 195,19 195,19 195,19 195,19 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-24 1 1 193,22 193,22 193,22 193,22 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-25 1 1 194,8 194,8 194,8 194,8 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-26 1 1 195,07 195,07 195,07 195,07 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-27 1 1 195,63 195,63 195,63 195,63 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-28 1 1 195,08 195,08 195,08 195,08 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-01-31 1 1 196,19 196,19 196,19 196,19 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-01 1 1 196,88 196,88 196,88 196,88 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-02 1 1 198,05 198,05 198,05 198,05 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-03 1 1 198,15 198,15 198,15 198,15 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-04 1 1 199,22 199,22 199,22 199,22 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-07 1 1 201,18 201,18 201,18 201,18 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-08 1 1 201,14 201,14 201,14 201,14 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-09 1 1 202,28 202,28 202,28 202,28 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-10 1 1 200,73 200,73 200,73 200,73 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-11 1 1 202,4 202,4 202,4 202,4 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-14 1 1 197,28 197,28 197,28 197,28 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-15 1 1 198,42 198,42 198,42 198,42 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-16 1 1 196,34 196,34 196,34 196,34 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-17 1 1 197,87 197,87 197,87 197,87 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-18 1 1 196,53 196,53 196,53 196,53 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-21 1 1 197,64 197,64 197,64 197,64 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-22 1 1 195,6 195,6 195,6 195,6 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-23 1 1 196,37 196,37 196,37 196,37 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-24 1 1 197,38 197,38 197,38 197,38 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-25 1 1 198,8 198,8 198,8 198,8 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-02-28 1 1 200,09 200,09 200,09 200,09 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-01 1 1 200,31 200,31 200,31 200,31 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-02 1 1 200,93 200,93 200,93 200,93 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-03 1 1 202,29 202,29 202,29 202,29 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-04 1 1 203,24 203,24 203,24 203,24 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-07 1 1 203,21 203,21 203,21 203,21 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-08 1 1 202,71 202,71 202,71 202,71 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-09 1 1 201,69 201,69 201,69 201,69 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-10 1 1 200,35 200,35 200,35 200,35 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-11 1 1 201,07 201,07 201,07 201,07 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-14 1 1 200,45 200,45 200,45 200,45 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-15 1 1 202,08 202,08 202,08 202,08 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-16 1 1 200,24 200,24 200,24 200,24 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-17 1 1 199,37 199,37 199,37 199,37 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-18 1 1 199,82 199,82 199,82 199,82 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-21 1 1 199,36 199,36 199,36 199,36 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-22 1 1 200,45 200,45 200,45 200,45 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-23 1 1 199,75 199,75 199,75 199,75 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-24 1 1 200,9 200,9 200,9 200,9 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-29 1 1 200,95 200,95 200,95 200,95 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-30 1 1 199,13 199,13 199,13 199,13 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-03-31 1 1 201,1 201,1 201,1 201,1 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-01 1 1 202,26 202,26 202,26 202,26 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-04 1 1 201,63 201,63 201,63 201,63 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-05 1 1 203,95 203,95 203,95 203,95 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-06 1 1 204,98 204,98 204,98 204,98 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-07 1 1 205,34 205,34 205,34 205,34 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-08 1 1 206,1 206,1 206,1 206,1 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-11 1 1 206,7 206,7 206,7 206,7 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-12 1 1 206,28 206,28 206,28 206,28 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-13 1 1 208,24 208,24 208,24 208,24 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-14 1 1 209,18 209,18 209,18 209,18 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-15 1 1 206,13 206,13 206,13 206,13 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-18 1 1 202,71 202,71 202,71 202,71 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-19 1 1 204,2 204,2 204,2 204,2 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-20 1 1 204,28 204,28 204,28 204,28 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-21 1 1 203,97 203,97 203,97 203,97 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-22 1 1 205,79 205,79 205,79 205,79 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-25 1 1 205,3 205,3 205,3 205,3 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-26 1 1 204,2 204,2 204,2 204,2 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-27 1 1 199,96 199,96 199,96 199,96 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-28 1 1 197,71 197,71 197,71 197,71 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-04-29 1 1 199,33 199,33 199,33 199,33 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-02 1 1 200,46 200,46 200,46 200,46 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-03 1 1 200,25 200,25 200,25 200,25 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-04 1 1 200,7 200,7 200,7 200,7 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-06 1 1 202,63 202,63 202,63 202,63 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-09 1 1 202,61 202,61 202,61 202,61 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-10 1 1 201,83 201,83 201,83 201,83 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-11 1 1 202,19 202,19 202,19 202,19 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-12 1 1 203,22 203,22 203,22 203,22 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-13 1 1 203,27 203,27 203,27 203,27 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-16 1 1 203,97 203,97 203,97 203,97 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-17 1 1 205,56 205,56 205,56 205,56 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-18 1 1 206,98 206,98 206,98 206,98 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-19 1 1 207,92 207,92 207,92 207,92 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-20 1 1 207,88 207,88 207,88 207,88 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-23 1 1 208,18 208,18 208,18 208,18 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-24 1 1 208,77 208,77 208,77 208,77 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-25 1 1 208,83 208,83 208,83 208,83 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-26 1 1 209,4 209,4 209,4 209,4 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-27 1 1 209,86 209,86 209,86 209,86 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-30 1 1 210,47 210,47 210,47 210,47 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-05-31 1 1 211,05 211,05 211,05 211,05 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-01 1 1 210,72 210,72 210,72 210,72 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-02 1 1 210,27 210,27 210,27 210,27 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-03 1 1 209,54 209,54 209,54 209,54 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-07 1 1 210,53 210,53 210,53 210,53 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-08 1 1 211,45 211,45 211,45 211,45 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-09 1 1 211,25 211,25 211,25 211,25 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-10 1 1 212,32 212,32 212,32 212,32 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-13 1 1 212,26 212,26 212,26 212,26 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-14 1 1 213,83 213,83 213,83 213,83 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-15 1 1 214,22 214,22 214,22 214,22 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-16 1 1 214,08 214,08 214,08 214,08 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-17 1 1 214,88 214,88 214,88 214,88 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-20 1 1 214,62 214,62 214,62 214,62 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-21 1 1 215,72 215,72 215,72 215,72 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-22 1 1 216,54 216,54 216,54 216,54 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-23 1 1 218,06 218,06 218,06 218,06 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-27 1 1 214,68 214,68 214,68 214,68 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-28 1 1 215,84 215,84 215,84 215,84 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-29 1 1 217,12 217,12 217,12 217,12 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-06-30 1 1 217,52 217,52 217,52 217,52 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-01 1 1 218,42 218,42 218,42 218,42 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-04 1 1 219,8 219,8 219,8 219,8 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-05 1 1 219,37 219,37 219,37 219,37 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-06 1 1 220,23 220,23 220,23 220,23 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-07 1 1 216,39 216,39 216,39 216,39 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-08 1 1 219,69 219,69 219,69 219,69 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-11 1 1 223,17 223,17 223,17 223,17 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-12 1 1 223,81 223,81 223,81 223,81 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-13 1 1 226,01 226,01 226,01 226,01 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-14 1 1 225,76 225,76 225,76 225,76 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-15 1 1 225,89 225,89 225,89 225,89 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-18 1 1 226,03 226,03 226,03 226,03 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-19 1 1 226,52 226,52 226,52 226,52 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-20 1 1 225,42 225,42 225,42 225,42 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-21 1 1 226,84 226,84 226,84 226,84 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-22 1 1 227,41 227,41 227,41 227,41 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-25 1 1 226,39 226,39 226,39 226,39 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-26 1 1 227,46 227,46 227,46 227,46 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-27 1 1 228,26 228,26 228,26 228,26 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-28 1 1 230,25 230,25 230,25 230,25 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-07-29 1 1 230,22 230,22 230,22 230,22 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-01 1 1 230,44 230,44 230,44 230,44 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-02 1 1 231,67 231,67 231,67 231,67 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-03 1 1 231,76 231,76 231,76 231,76 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-04 1 1 230,66 230,66 230,66 230,66 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-05 1 1 230,08 230,08 230,08 230,08 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-08 1 1 229,88 229,88 229,88 229,88 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-09 1 1 230,21 230,21 230,21 230,21 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-10 1 1 232 232 232 232 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-11 1 1 230,07 230,07 230,07 230,07 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-12 1 1 230,31 230,31 230,31 230,31 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-15 1 1 230,06 230,06 230,06 230,06 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-16 1 1 230,83 230,83 230,83 230,83 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-17 1 1 229,28 229,28 229,28 229,28 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-18 1 1 229,1 229,1 229,1 229,1 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-19 1 1 230,97 230,97 230,97 230,97 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-22 1 1 230,74 230,74 230,74 230,74 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-23 1 1 228,96 228,96 228,96 228,96 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-24 1 1 225,26 225,26 225,26 225,26 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-25 1 1 223,15 223,15 223,15 223,15 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-26 1 1 221,74 221,74 221,74 221,74 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-29 1 1 221,95 221,95 221,95 221,95 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-30 1 1 222,85 222,85 222,85 222,85 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-08-31 1 1 224,28 224,28 224,28 224,28 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-01 1 1 226,15 226,15 226,15 226,15 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-02 1 1 225,71 225,71 225,71 225,71 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-05 1 1 227,25 227,25 227,25 227,25 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-06 1 1 228,59 228,59 228,59 228,59 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-07 1 1 229,51 229,51 229,51 229,51 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-08 1 1 228,9 228,9 228,9 228,9 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-09 1 1 230,28 230,28 230,28 230,28 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-12 1 1 231,19 231,19 231,19 231,19 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-13 1 1 230,46 230,46 230,46 230,46 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-14 1 1 231,25 231,25 231,25 231,25 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-15 1 1 230,63 230,63 230,63 230,63 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-16 1 1 230,91 230,91 230,91 230,91 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-19 1 1 231,76 231,76 231,76 231,76 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-20 1 1 231,85 231,85 231,85 231,85 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-21 1 1 230,53 230,53 230,53 230,53 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-22 1 1 230,03 230,03 230,03 230,03 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-23 1 1 230,87 230,87 230,87 230,87 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-26 1 1 233,6 233,6 233,6 233,6 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-27 1 1 234,74 234,74 234,74 234,74 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-28 1 1 236,38 236,38 236,38 236,38 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-29 1 1 236,48 236,48 236,48 236,48 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-09-30 1 1 238,81 238,81 238,81 238,81 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-03 1 1 240,53 240,53 240,53 240,53 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-04 1 1 240,4 240,4 240,4 240,4 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-05 1 1 238,85 238,85 238,85 238,85 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-06 1 1 236,16 236,16 236,16 236,16 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-07 1 1 236,27 236,27 236,27 236,27 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-10 1 1 237,59 237,59 237,59 237,59 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-11 1 1 238,3 238,3 238,3 238,3 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-12 1 1 237,28 237,28 237,28 237,28 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-13 1 1 233,21 233,21 233,21 233,21 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-14 1 1 233,55 233,55 233,55 233,55 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-17 1 1 233,37 233,37 233,37 233,37 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-18 1 1 232,27 232,27 232,27 232,27 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-19 1 1 229,07 229,07 229,07 229,07 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-20 1 1 230,6 230,6 230,6 230,6 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-21 1 1 227,82 227,82 227,82 227,82 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-24 1 1 229,98 229,98 229,98 229,98 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-25 1 1 232,63 232,63 232,63 232,63 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-26 1 1 232,98 232,98 232,98 232,98 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-27 1 1 231,68 231,68 231,68 231,68 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-28 1 1 230,2 230,2 230,2 230,2 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-10-31 1 1 234,91 234,91 234,91 234,91 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-01 1 1 235,95 235,95 235,95 235,95 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-02 1 1 236,56 236,56 236,56 236,56 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-03 1 1 239,52 239,52 239,52 239,52 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-04 1 1 239,44 239,44 239,44 239,44 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-07 1 1 240,52 240,52 240,52 240,52 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-08 1 1 240,26 240,26 240,26 240,26 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-09 1 1 240,03 240,03 240,03 240,03 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-10 1 1 240,92 240,92 240,92 240,92 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-11 1 1 242,52 242,52 242,52 242,52 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-14 1 1 243,76 243,76 243,76 243,76 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-15 1 1 242,63 242,63 242,63 242,63 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-16 1 1 242,76 242,76 242,76 242,76 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-17 1 1 243,9 243,9 243,9 243,9 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-18 1 1 244,91 244,91 244,91 244,91 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-21 1 1 245,31 245,31 245,31 245,31 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-22 1 1 245,81 245,81 245,81 245,81 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-23 1 1 245,66 245,66 245,66 245,66 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-24 1 1 245,3 245,3 245,3 245,3 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-25 1 1 246,14 246,14 246,14 246,14 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-28 1 1 247,07 247,07 247,07 247,07 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-29 1 1 246,83 246,83 246,83 246,83 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-11-30 1 1 244,75 244,75 244,75 244,75 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-01 1 1 246,92 246,92 246,92 246,92 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-02 1 1 249,61 249,61 249,61 249,61 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-05 1 1 249,33 249,33 249,33 249,33 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-06 1 1 250,48 250,48 250,48 250,48 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-07 1 1 250,53 250,53 250,53 250,53 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-08 1 1 251,07 251,07 251,07 251,07 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-12 1 1 252,19 252,19 252,19 252,19 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-13 1 1 251,86 251,86 251,86 251,86 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-14 1 1 251,46 251,46 251,46 251,46 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-15 1 1 251,17 251,17 251,17 251,17 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-16 1 1 252,06 252,06 252,06 252,06 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-19 1 1 253,25 253,25 253,25 253,25 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-20 1 1 253,45 253,45 253,45 253,45 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-21 1 1 255,11 255,11 255,11 255,11 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-22 1 1 255,71 255,71 255,71 255,71 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-23 1 1 257,99 257,99 257,99 257,99 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-27 1 1 259,76 259,76 259,76 259,76 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-28 1 1 259,29 259,29 259,29 259,29 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-29 1 1 260 260 260 260 344739 Aktie-Ansvar AB Aktie-Ansvar Sverige SEK 2005-12-30 1 1 258,96 258,96 258,96 258,96 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-03 1 1 7,2 7,2 7,2 7,2 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-04 1 1 7,25 7,25 7,25 7,25 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-05 1 1 7,17 7,17 7,17 7,17 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-07 1 1 7,2 7,2 7,2 7,2 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-10 1 1 7,29 7,29 7,29 7,29 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-11 1 1 7,2 7,2 7,2 7,2 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-12 1 1 7,07 7,07 7,07 7,07 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-13 1 1 7,1 7,1 7,1 7,1 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-14 1 1 7,15 7,15 7,15 7,15 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-17 1 1 7,2 7,2 7,2 7,2 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-18 1 1 7,18 7,18 7,18 7,18 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-19 1 1 7,18 7,18 7,18 7,18 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-20 1 1 7,09 7,09 7,09 7,09 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-21 1 1 7,08 7,08 7,08 7,08 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-24 1 1 7 7 7 7 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-25 1 1 7,09 7,09 7,09 7,09 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-26 1 1 7,09 7,09 7,09 7,09 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-27 1 1 7,14 7,14 7,14 7,14 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-28 1 1 7,08 7,08 7,08 7,08 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-01-31 1 1 7,14 7,14 7,14 7,14 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-01 1 1 7,22 7,22 7,22 7,22 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-02 1 1 7,26 7,26 7,26 7,26 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-03 1 1 7,22 7,22 7,22 7,22 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-04 1 1 7,27 7,27 7,27 7,27 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-07 1 1 7,37 7,37 7,37 7,37 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-08 1 1 7,34 7,34 7,34 7,34 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-09 1 1 7,41 7,41 7,41 7,41 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-10 1 1 7,28 7,28 7,28 7,28 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-11 1 1 7,39 7,39 7,39 7,39 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-14 1 1 7,37 7,37 7,37 7,37 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-15 1 1 7,42 7,42 7,42 7,42 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-16 1 1 7,36 7,36 7,36 7,36 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-17 1 1 7,36 7,36 7,36 7,36 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-18 1 1 7,3 7,3 7,3 7,3 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-21 1 1 7,33 7,33 7,33 7,33 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-22 1 1 7,31 7,31 7,31 7,31 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-23 1 1 7,11 7,11 7,11 7,11 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-24 1 1 7,13 7,13 7,13 7,13 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-25 1 1 7,21 7,21 7,21 7,21 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-02-28 1 1 7,21 7,21 7,21 7,21 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-01 1 1 7,23 7,23 7,23 7,23 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-02 1 1 7,27 7,27 7,27 7,27 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-03 1 1 7,26 7,26 7,26 7,26 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-04 1 1 7,34 7,34 7,34 7,34 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-07 1 1 7,31 7,31 7,31 7,31 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-08 1 1 7,27 7,27 7,27 7,27 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-09 1 1 7,26 7,26 7,26 7,26 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-10 1 1 7,18 7,18 7,18 7,18 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-11 1 1 7,22 7,22 7,22 7,22 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-14 1 1 7,24 7,24 7,24 7,24 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-15 1 1 7,29 7,29 7,29 7,29 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-16 1 1 7,17 7,17 7,17 7,17 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-17 1 1 7,18 7,18 7,18 7,18 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-18 1 1 7,16 7,16 7,16 7,16 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-21 1 1 7,12 7,12 7,12 7,12 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-22 1 1 7,18 7,18 7,18 7,18 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-23 1 1 7,2 7,2 7,2 7,2 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-24 1 1 7,22 7,22 7,22 7,22 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-29 1 1 7,22 7,22 7,22 7,22 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-30 1 1 7,21 7,21 7,21 7,21 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-03-31 1 1 7,22 7,22 7,22 7,22 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-01 1 1 7,29 7,29 7,29 7,29 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-04 1 1 7,26 7,26 7,26 7,26 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-05 1 1 7,34 7,34 7,34 7,34 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-06 1 1 7,4 7,4 7,4 7,4 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-07 1 1 7,41 7,41 7,41 7,41 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-08 1 1 7,44 7,44 7,44 7,44 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-11 1 1 7,48 7,48 7,48 7,48 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-12 1 1 7,44 7,44 7,44 7,44 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-13 1 1 7,49 7,49 7,49 7,49 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-14 1 1 7,54 7,54 7,54 7,54 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-15 1 1 7,43 7,43 7,43 7,43 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-18 1 1 7,32 7,32 7,32 7,32 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-19 1 1 7,33 7,33 7,33 7,33 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-20 1 1 7,33 7,33 7,33 7,33 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-21 1 1 7,36 7,36 7,36 7,36 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-22 1 1 7,48 7,48 7,48 7,48 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-25 1 1 7,48 7,48 7,48 7,48 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-26 1 1 7,42 7,42 7,42 7,42 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-27 1 1 7,26 7,26 7,26 7,26 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-28 1 1 7,19 7,19 7,19 7,19 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-04-29 1 1 7,2 7,2 7,2 7,2 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-02 1 1 7,26 7,26 7,26 7,26 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-03 1 1 7,28 7,28 7,28 7,28 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-04 1 1 7,28 7,28 7,28 7,28 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-06 1 1 7,37 7,37 7,37 7,37 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-09 1 1 7,4 7,4 7,4 7,4 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-10 1 1 7,37 7,37 7,37 7,37 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-11 1 1 7,33 7,33 7,33 7,33 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-12 1 1 7,41 7,41 7,41 7,41 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-13 1 1 7,46 7,46 7,46 7,46 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-16 1 1 7,46 7,46 7,46 7,46 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-17 1 1 7,47 7,47 7,47 7,47 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-18 1 1 7,53 7,53 7,53 7,53 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-19 1 1 7,56 7,56 7,56 7,56 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-20 1 1 7,55 7,55 7,55 7,55 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-23 1 1 7,55 7,55 7,55 7,55 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-24 1 1 7,56 7,56 7,56 7,56 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-25 1 1 7,54 7,54 7,54 7,54 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-26 1 1 7,61 7,61 7,61 7,61 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-27 1 1 7,62 7,62 7,62 7,62 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-30 1 1 7,65 7,65 7,65 7,65 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-05-31 1 1 7,63 7,63 7,63 7,63 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-01 1 1 7,66 7,66 7,66 7,66 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-02 1 1 7,61 7,61 7,61 7,61 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-03 1 1 7,59 7,59 7,59 7,59 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-07 1 1 7,64 7,64 7,64 7,64 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-08 1 1 7,67 7,67 7,67 7,67 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-09 1 1 7,65 7,65 7,65 7,65 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-10 1 1 7,7 7,7 7,7 7,7 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-13 1 1 7,71 7,71 7,71 7,71 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-14 1 1 7,78 7,78 7,78 7,78 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-15 1 1 7,75 7,75 7,75 7,75 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-16 1 1 7,8 7,8 7,8 7,8 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-17 1 1 7,79 7,79 7,79 7,79 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-20 1 1 7,82 7,82 7,82 7,82 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-21 1 1 7,88 7,88 7,88 7,88 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-22 1 1 7,89 7,89 7,89 7,89 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-23 1 1 7,97 7,97 7,97 7,97 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-27 1 1 7,8 7,8 7,8 7,8 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-28 1 1 7,84 7,84 7,84 7,84 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-29 1 1 7,91 7,91 7,91 7,91 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-06-30 1 1 7,92 7,92 7,92 7,92 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-01 1 1 7,99 7,99 7,99 7,99 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-04 1 1 8,01 8,01 8,01 8,01 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-05 1 1 7,99 7,99 7,99 7,99 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-06 1 1 8,01 8,01 8,01 8,01 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-07 1 1 7,88 7,88 7,88 7,88 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-08 1 1 8,01 8,01 8,01 8,01 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-11 1 1 8,14 8,14 8,14 8,14 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-12 1 1 8,12 8,12 8,12 8,12 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-13 1 1 8,18 8,18 8,18 8,18 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-14 1 1 8,18 8,18 8,18 8,18 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-15 1 1 8,17 8,17 8,17 8,17 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-18 1 1 8,18 8,18 8,18 8,18 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-19 1 1 8,21 8,21 8,21 8,21 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-20 1 1 8,15 8,15 8,15 8,15 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-21 1 1 8,21 8,21 8,21 8,21 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-22 1 1 8,21 8,21 8,21 8,21 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-25 1 1 8,21 8,21 8,21 8,21 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-26 1 1 8,23 8,23 8,23 8,23 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-27 1 1 8,29 8,29 8,29 8,29 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-28 1 1 8,31 8,31 8,31 8,31 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-07-29 1 1 8,31 8,31 8,31 8,31 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-01 1 1 8,31 8,31 8,31 8,31 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-02 1 1 8,38 8,38 8,38 8,38 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-03 1 1 8,37 8,37 8,37 8,37 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-04 1 1 8,31 8,31 8,31 8,31 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-05 1 1 8,29 8,29 8,29 8,29 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-08 1 1 8,29 8,29 8,29 8,29 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-09 1 1 8,31 8,31 8,31 8,31 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-10 1 1 8,42 8,42 8,42 8,42 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-11 1 1 8,38 8,38 8,38 8,38 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-12 1 1 8,35 8,35 8,35 8,35 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-15 1 1 8,35 8,35 8,35 8,35 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-16 1 1 8,33 8,33 8,33 8,33 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-17 1 1 8,29 8,29 8,29 8,29 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-18 1 1 8,29 8,29 8,29 8,29 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-19 1 1 8,34 8,34 8,34 8,34 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-22 1 1 8,35 8,35 8,35 8,35 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-23 1 1 8,27 8,27 8,27 8,27 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-24 1 1 8,18 8,18 8,18 8,18 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-25 1 1 8,09 8,09 8,09 8,09 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-26 1 1 8,03 8,03 8,03 8,03 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-29 1 1 8,1 8,1 8,1 8,1 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-30 1 1 8,07 8,07 8,07 8,07 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-08-31 1 1 8,18 8,18 8,18 8,18 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-01 1 1 8,2 8,2 8,2 8,2 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-02 1 1 8,22 8,22 8,22 8,22 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-05 1 1 8,24 8,24 8,24 8,24 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-06 1 1 8,28 8,28 8,28 8,28 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-07 1 1 8,31 8,31 8,31 8,31 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-08 1 1 8,29 8,29 8,29 8,29 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-09 1 1 8,36 8,36 8,36 8,36 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-12 1 1 8,37 8,37 8,37 8,37 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-13 1 1 8,37 8,37 8,37 8,37 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-14 1 1 8,4 8,4 8,4 8,4 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-15 1 1 8,37 8,37 8,37 8,37 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-16 1 1 8,4 8,4 8,4 8,4 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-19 1 1 8,4 8,4 8,4 8,4 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-20 1 1 8,4 8,4 8,4 8,4 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-21 1 1 8,32 8,32 8,32 8,32 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-22 1 1 8,35 8,35 8,35 8,35 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-23 1 1 8,37 8,37 8,37 8,37 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-26 1 1 8,5 8,5 8,5 8,5 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-27 1 1 8,5 8,5 8,5 8,5 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-28 1 1 8,57 8,57 8,57 8,57 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-29 1 1 8,58 8,58 8,58 8,58 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-09-30 1 1 8,63 8,63 8,63 8,63 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-03 1 1 8,71 8,71 8,71 8,71 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-04 1 1 8,69 8,69 8,69 8,69 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-05 1 1 8,65 8,65 8,65 8,65 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-06 1 1 8,56 8,56 8,56 8,56 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-07 1 1 8,55 8,55 8,55 8,55 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-10 1 1 8,59 8,59 8,59 8,59 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-11 1 1 8,59 8,59 8,59 8,59 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-12 1 1 8,5 8,5 8,5 8,5 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-13 1 1 8,41 8,41 8,41 8,41 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-14 1 1 8,43 8,43 8,43 8,43 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-17 1 1 8,4 8,4 8,4 8,4 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-18 1 1 8,37 8,37 8,37 8,37 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-19 1 1 8,24 8,24 8,24 8,24 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-20 1 1 8,26 8,26 8,26 8,26 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-21 1 1 8,22 8,22 8,22 8,22 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-24 1 1 8,31 8,31 8,31 8,31 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-25 1 1 8,38 8,38 8,38 8,38 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-26 1 1 8,4 8,4 8,4 8,4 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-27 1 1 8,3 8,3 8,3 8,3 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-28 1 1 8,3 8,3 8,3 8,3 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-10-31 1 1 8,49 8,49 8,49 8,49 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-01 1 1 8,52 8,52 8,52 8,52 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-02 1 1 8,55 8,55 8,55 8,55 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-03 1 1 8,64 8,64 8,64 8,64 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-04 1 1 8,63 8,63 8,63 8,63 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-07 1 1 8,67 8,67 8,67 8,67 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-08 1 1 8,65 8,65 8,65 8,65 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-09 1 1 8,67 8,67 8,67 8,67 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-10 1 1 8,67 8,67 8,67 8,67 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-11 1 1 8,79 8,79 8,79 8,79 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-14 1 1 8,8 8,8 8,8 8,8 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-15 1 1 8,77 8,77 8,77 8,77 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-16 1 1 8,78 8,78 8,78 8,78 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-17 1 1 8,8 8,8 8,8 8,8 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-18 1 1 8,84 8,84 8,84 8,84 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-21 1 1 8,88 8,88 8,88 8,88 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-22 1 1 8,82 8,82 8,82 8,82 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-23 1 1 8,87 8,87 8,87 8,87 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-24 1 1 8,83 8,83 8,83 8,83 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-25 1 1 8,85 8,85 8,85 8,85 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-28 1 1 8,87 8,87 8,87 8,87 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-29 1 1 8,84 8,84 8,84 8,84 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-11-30 1 1 8,76 8,76 8,76 8,76 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-01 1 1 8,92 8,92 8,92 8,92 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-02 1 1 8,98 8,98 8,98 8,98 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-05 1 1 8,92 8,92 8,92 8,92 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-06 1 1 9 9 9 9 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-07 1 1 9,01 9,01 9,01 9,01 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-08 1 1 9,07 9,07 9,07 9,07 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-12 1 1 9,04 9,04 9,04 9,04 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-13 1 1 9,07 9,07 9,07 9,07 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-14 1 1 9,01 9,01 9,01 9,01 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-15 1 1 8,99 8,99 8,99 8,99 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-16 1 1 9,07 9,07 9,07 9,07 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-19 1 1 9,08 9,08 9,08 9,08 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-20 1 1 9,08 9,08 9,08 9,08 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-21 1 1 9,13 9,13 9,13 9,13 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-22 1 1 9,15 9,15 9,15 9,15 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-23 1 1 9,22 9,22 9,22 9,22 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-27 1 1 9,28 9,28 9,28 9,28 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-28 1 1 9,24 9,24 9,24 9,24 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-29 1 1 9,3 9,3 9,3 9,3 290072 Aktieinvest FK AB Aktiespararna Topp Sverige SEK 2005-12-30 1 1 9,23 9,23 9,23 9,23 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-03 1 1 67,52 67,52 67,52 67,52 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-04 1 1 67,7 67,7 67,7 67,7 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-05 1 1 67,39 67,39 67,39 67,39 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-07 1 1 67,71 67,71 67,71 67,71 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-10 1 1 68,06 68,06 68,06 68,06 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-11 1 1 67,8 67,8 67,8 67,8 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-12 1 1 67,47 67,47 67,47 67,47 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-13 1 1 67,43 67,43 67,43 67,43 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-14 1 1 67,91 67,91 67,91 67,91 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-17 1 1 68,43 68,43 68,43 68,43 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-18 1 1 68,37 68,37 68,37 68,37 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-19 1 1 68,93 68,93 68,93 68,93 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-20 1 1 68,7 68,7 68,7 68,7 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-21 1 1 68,87 68,87 68,87 68,87 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-24 1 1 68,24 68,24 68,24 68,24 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-25 1 1 68,51 68,51 68,51 68,51 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-26 1 1 68,92 68,92 68,92 68,92 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-27 1 1 69,12 69,12 69,12 69,12 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-28 1 1 69,28 69,28 69,28 69,28 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-01-31 1 1 69,64 69,64 69,64 69,64 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-01 1 1 70,08 70,08 70,08 70,08 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-02 1 1 69,98 69,98 69,98 69,98 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-03 1 1 70,35 70,35 70,35 70,35 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-04 1 1 70,63 70,63 70,63 70,63 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-07 1 1 71,57 71,57 71,57 71,57 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-08 1 1 71,9 71,9 71,9 71,9 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-09 1 1 72,11 72,11 72,11 72,11 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-10 1 1 71,68 71,68 71,68 71,68 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-11 1 1 71,65 71,65 71,65 71,65 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-14 1 1 71,89 71,89 71,89 71,89 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-15 1 1 71,51 71,51 71,51 71,51 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-16 1 1 71,38 71,38 71,38 71,38 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-17 1 1 71,9 71,9 71,9 71,9 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-18 1 1 71,39 71,39 71,39 71,39 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-21 1 1 71,55 71,55 71,55 71,55 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-22 1 1 70,79 70,79 70,79 70,79 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-23 1 1 70,07 70,07 70,07 70,07 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-24 1 1 70,1 70,1 70,1 70,1 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-25 1 1 70,88 70,88 70,88 70,88 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-02-28 1 1 70,97 70,97 70,97 70,97 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-01 1 1 71,02 71,02 71,02 71,02 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-02 1 1 71,48 71,48 71,48 71,48 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-03 1 1 71,55 71,55 71,55 71,55 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-04 1 1 71,66 71,66 71,66 71,66 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-07 1 1 71,92 71,92 71,92 71,92 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-08 1 1 71,82 71,82 71,82 71,82 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-09 1 1 71,22 71,22 71,22 71,22 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-10 1 1 70,5 70,5 70,5 70,5 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-11 1 1 70,67 70,67 70,67 70,67 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-14 1 1 70,46 70,46 70,46 70,46 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-15 1 1 71,06 71,06 71,06 71,06 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-16 1 1 70,17 70,17 70,17 70,17 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-17 1 1 70,17 70,17 70,17 70,17 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-18 1 1 70,54 70,54 70,54 70,54 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-21 1 1 71,12 71,12 71,12 71,12 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-22 1 1 70,75 70,75 70,75 70,75 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-23 1 1 70,45 70,45 70,45 70,45 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-24 1 1 70,71 70,71 70,71 70,71 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-29 1 1 71,14 71,14 71,14 71,14 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-30 1 1 70,81 70,81 70,81 70,81 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-03-31 1 1 71,43 71,43 71,43 71,43 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-01 1 1 71,64 71,64 71,64 71,64 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-04 1 1 71,48 71,48 71,48 71,48 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-05 1 1 71,69 71,69 71,69 71,69 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-06 1 1 71,88 71,88 71,88 71,88 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-07 1 1 71,94 71,94 71,94 71,94 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-08 1 1 72,77 72,77 72,77 72,77 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-11 1 1 71,95 71,95 71,95 71,95 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-12 1 1 71,92 71,92 71,92 71,92 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-13 1 1 72,27 72,27 72,27 72,27 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-14 1 1 71,94 71,94 71,94 71,94 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-15 1 1 70,91 70,91 70,91 70,91 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-18 1 1 69,37 69,37 69,37 69,37 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-19 1 1 69,63 69,63 69,63 69,63 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-20 1 1 69,81 69,81 69,81 69,81 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-21 1 1 69,23 69,23 69,23 69,23 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-22 1 1 69,83 69,83 69,83 69,83 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-25 1 1 69,94 69,94 69,94 69,94 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-26 1 1 69,95 69,95 69,95 69,95 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-27 1 1 69,18 69,18 69,18 69,18 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-28 1 1 69,21 69,21 69,21 69,21 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-04-29 1 1 69,16 69,16 69,16 69,16 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-02 1 1 70,07 70,07 70,07 70,07 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-03 1 1 70,29 70,29 70,29 70,29 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-04 1 1 69,74 69,74 69,74 69,74 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-06 1 1 70,76 70,76 70,76 70,76 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-09 1 1 70,74 70,74 70,74 70,74 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-10 1 1 70,83 70,83 70,83 70,83 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-11 1 1 70,62 70,62 70,62 70,62 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-12 1 1 71,39 71,39 71,39 71,39 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-13 1 1 70,96 70,96 70,96 70,96 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-16 1 1 70,88 70,88 70,88 70,88 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-17 1 1 71,25 71,25 71,25 71,25 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-18 1 1 71,89 71,89 71,89 71,89 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-19 1 1 72,49 72,49 72,49 72,49 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-20 1 1 72,78 72,78 72,78 72,78 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-23 1 1 72,86 72,86 72,86 72,86 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-24 1 1 72,78 72,78 72,78 72,78 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-25 1 1 72,98 72,98 72,98 72,98 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-26 1 1 73,45 73,45 73,45 73,45 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-27 1 1 73,63 73,63 73,63 73,63 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-30 1 1 73,83 73,83 73,83 73,83 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-05-31 1 1 74,21 74,21 74,21 74,21 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-01 1 1 74,05 74,05 74,05 74,05 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-02 1 1 74,86 74,86 74,86 74,86 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-03 1 1 74,74 74,74 74,74 74,74 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-07 1 1 74,61 74,61 74,61 74,61 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-08 1 1 73,82 73,82 73,82 73,82 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-09 1 1 74,07 74,07 74,07 74,07 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-10 1 1 74,89 74,89 74,89 74,89 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-13 1 1 75,49 75,49 75,49 75,49 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-14 1 1 75,48 75,48 75,48 75,48 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-15 1 1 75,85 75,85 75,85 75,85 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-16 1 1 75,6 75,6 75,6 75,6 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-17 1 1 75,74 75,74 75,74 75,74 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-20 1 1 75,69 75,69 75,69 75,69 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-21 1 1 76,18 76,18 76,18 76,18 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-22 1 1 76,37 76,37 76,37 76,37 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-23 1 1 77,4 77,4 77,4 77,4 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-27 1 1 75,88 75,88 75,88 75,88 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-28 1 1 76,48 76,48 76,48 76,48 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-29 1 1 77,34 77,34 77,34 77,34 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-06-30 1 1 77,22 77,22 77,22 77,22 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-01 1 1 77,23 77,23 77,23 77,23 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-04 1 1 78,01 78,01 78,01 78,01 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-05 1 1 77,56 77,56 77,56 77,56 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-06 1 1 77,92 77,92 77,92 77,92 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-07 1 1 76,97 76,97 76,97 76,97 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-08 1 1 77,81 77,81 77,81 77,81 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-11 1 1 78,79 78,79 78,79 78,79 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-12 1 1 78,4 78,4 78,4 78,4 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-13 1 1 78,3 78,3 78,3 78,3 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-14 1 1 78,85 78,85 78,85 78,85 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-15 1 1 79,03 79,03 79,03 79,03 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-18 1 1 78,78 78,78 78,78 78,78 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-19 1 1 79,31 79,31 79,31 79,31 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-20 1 1 79,33 79,33 79,33 79,33 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-21 1 1 79,69 79,69 79,69 79,69 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-22 1 1 79,44 79,44 79,44 79,44 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-25 1 1 79,83 79,83 79,83 79,83 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-26 1 1 80,37 80,37 80,37 80,37 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-27 1 1 80,29 80,29 80,29 80,29 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-28 1 1 80,05 80,05 80,05 80,05 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-07-29 1 1 80,3 80,3 80,3 80,3 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-01 1 1 79,41 79,41 79,41 79,41 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-02 1 1 79,47 79,47 79,47 79,47 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-03 1 1 79,56 79,56 79,56 79,56 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-04 1 1 78,92 78,92 78,92 78,92 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-05 1 1 78,51 78,51 78,51 78,51 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-08 1 1 78,14 78,14 78,14 78,14 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-09 1 1 78,48 78,48 78,48 78,48 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-10 1 1 78,96 78,96 78,96 78,96 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-11 1 1 78,74 78,74 78,74 78,74 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-12 1 1 78,94 78,94 78,94 78,94 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-15 1 1 78,81 78,81 78,81 78,81 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-16 1 1 79,19 79,19 79,19 79,19 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-17 1 1 78,4 78,4 78,4 78,4 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-18 1 1 78,6 78,6 78,6 78,6 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-19 1 1 79,06 79,06 79,06 79,06 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-22 1 1 79,21 79,21 79,21 79,21 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-23 1 1 79,15 79,15 79,15 79,15 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-24 1 1 78,21 78,21 78,21 78,21 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-25 1 1 77,99 77,99 77,99 77,99 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-26 1 1 77,75 77,75 77,75 77,75 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-29 1 1 77,27 77,27 77,27 77,27 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-30 1 1 78,15 78,15 78,15 78,15 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-08-31 1 1 78,13 78,13 78,13 78,13 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-01 1 1 78,39 78,39 78,39 78,39 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-02 1 1 77,76 77,76 77,76 77,76 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-05 1 1 77,77 77,77 77,77 77,77 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-06 1 1 78,15 78,15 78,15 78,15 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-07 1 1 79,05 79,05 79,05 79,05 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-08 1 1 79,08 79,08 79,08 79,08 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-09 1 1 79,3 79,3 79,3 79,3 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-12 1 1 79,86 79,86 79,86 79,86 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-13 1 1 79,69 79,69 79,69 79,69 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-14 1 1 79,63 79,63 79,63 79,63 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-15 1 1 79,77 79,77 79,77 79,77 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-16 1 1 80,04 80,04 80,04 80,04 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-19 1 1 80,79 80,79 80,79 80,79 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-20 1 1 80,73 80,73 80,73 80,73 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-21 1 1 79,86 79,86 79,86 79,86 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-22 1 1 79,59 79,59 79,59 79,59 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-23 1 1 80,49 80,49 80,49 80,49 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-26 1 1 81,03 81,03 81,03 81,03 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-27 1 1 81,2 81,2 81,2 81,2 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-28 1 1 81,53 81,53 81,53 81,53 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-29 1 1 81,45 81,45 81,45 81,45 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-09-30 1 1 81,39 81,39 81,39 81,39 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-03 1 1 81,96 81,96 81,96 81,96 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-04 1 1 82 82 82 82 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-05 1 1 81,22 81,22 81,22 81,22 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-06 1 1 79,42 79,42 79,42 79,42 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-07 1 1 79,09 79,09 79,09 79,09 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-10 1 1 79,46 79,46 79,46 79,46 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-11 1 1 79,67 79,67 79,67 79,67 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-12 1 1 79,44 79,44 79,44 79,44 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-13 1 1 79,14 79,14 79,14 79,14 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-14 1 1 79,35 79,35 79,35 79,35 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-17 1 1 79,67 79,67 79,67 79,67 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-18 1 1 79,91 79,91 79,91 79,91 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-19 1 1 78,62 78,62 78,62 78,62 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-20 1 1 79,63 79,63 79,63 79,63 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-21 1 1 78,46 78,46 78,46 78,46 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-24 1 1 79,5 79,5 79,5 79,5 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-25 1 1 79,7 79,7 79,7 79,7 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-26 1 1 79,78 79,78 79,78 79,78 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-27 1 1 79,12 79,12 79,12 79,12 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-28 1 1 78,59 78,59 78,59 78,59 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-10-31 1 1 80,37 80,37 80,37 80,37 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-01 1 1 81,15 81,15 81,15 81,15 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-02 1 1 81 81 81 81 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-03 1 1 82,16 82,16 82,16 82,16 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-04 1 1 82,52 82,52 82,52 82,52 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-07 1 1 83,35 83,35 83,35 83,35 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-08 1 1 83,12 83,12 83,12 83,12 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-09 1 1 82,89 82,89 82,89 82,89 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-10 1 1 83,61 83,61 83,61 83,61 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-11 1 1 83,9 83,9 83,9 83,9 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-14 1 1 83,99 83,99 83,99 83,99 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-15 1 1 84,36 84,36 84,36 84,36 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-16 1 1 83,82 83,82 83,82 83,82 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-17 1 1 84,51 84,51 84,51 84,51 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-18 1 1 84,65 84,65 84,65 84,65 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-21 1 1 84,17 84,17 84,17 84,17 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-22 1 1 84,86 84,86 84,86 84,86 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-23 1 1 84,75 84,75 84,75 84,75 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-24 1 1 84,69 84,69 84,69 84,69 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-25 1 1 84,62 84,62 84,62 84,62 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-28 1 1 84,99 84,99 84,99 84,99 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-29 1 1 84,45 84,45 84,45 84,45 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-11-30 1 1 84,33 84,33 84,33 84,33 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-01 1 1 84,66 84,66 84,66 84,66 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-02 1 1 84,94 84,94 84,94 84,94 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-05 1 1 85,07 85,07 85,07 85,07 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-06 1 1 84,86 84,86 84,86 84,86 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-07 1 1 85,35 85,35 85,35 85,35 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-08 1 1 84,84 84,84 84,84 84,84 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-12 1 1 84,75 84,75 84,75 84,75 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-13 1 1 84,73 84,73 84,73 84,73 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-14 1 1 84,26 84,26 84,26 84,26 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-15 1 1 84,47 84,47 84,47 84,47 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-16 1 1 85,21 85,21 85,21 85,21 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-19 1 1 84,66 84,66 84,66 84,66 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-20 1 1 84,37 84,37 84,37 84,37 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-21 1 1 85,4 85,4 85,4 85,4 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-22 1 1 85,48 85,48 85,48 85,48 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-23 1 1 86,12 86,12 86,12 86,12 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-27 1 1 86,1 86,1 86,1 86,1 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-28 1 1 85,17 85,17 85,17 85,17 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-29 1 1 85,4 85,4 85,4 85,4 908277 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Global SEK 2005-12-30 1 1 85,04 85,04 85,04 85,04 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-03 1 1 126,53 126,53 126,53 126,53 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-04 1 1 127,09 127,09 127,09 127,09 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-05 1 1 126,67 126,67 126,67 126,67 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-07 1 1 126,55 126,55 126,55 126,55 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-10 1 1 127,07 127,07 127,07 127,07 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-11 1 1 127,43 127,43 127,43 127,43 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-12 1 1 127,1 127,1 127,1 127,1 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-13 1 1 127,07 127,07 127,07 127,07 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-14 1 1 127,36 127,36 127,36 127,36 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-17 1 1 128,14 128,14 128,14 128,14 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-18 1 1 127,93 127,93 127,93 127,93 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-19 1 1 128,73 128,73 128,73 128,73 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-20 1 1 127,78 127,78 127,78 127,78 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-21 1 1 127,44 127,44 127,44 127,44 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-24 1 1 126,61 126,61 126,61 126,61 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-25 1 1 126,62 126,62 126,62 126,62 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-26 1 1 127,23 127,23 127,23 127,23 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-27 1 1 127,76 127,76 127,76 127,76 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-28 1 1 127,36 127,36 127,36 127,36 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-01-31 1 1 127,13 127,13 127,13 127,13 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-01 1 1 128,36 128,36 128,36 128,36 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-02 1 1 128,82 128,82 128,82 128,82 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-03 1 1 129,17 129,17 129,17 129,17 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-04 1 1 129,82 129,82 129,82 129,82 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-07 1 1 130,89 130,89 130,89 130,89 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-08 1 1 131,35 131,35 131,35 131,35 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-09 1 1 130,95 130,95 130,95 130,95 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-10 1 1 130,37 130,37 130,37 130,37 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-11 1 1 130,73 130,73 130,73 130,73 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-14 1 1 131,48 131,48 131,48 131,48 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-15 1 1 131,82 131,82 131,82 131,82 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-16 1 1 131,93 131,93 131,93 131,93 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-17 1 1 132,62 132,62 132,62 132,62 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-18 1 1 132,35 132,35 132,35 132,35 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-21 1 1 132,36 132,36 132,36 132,36 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-22 1 1 131,69 131,69 131,69 131,69 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-23 1 1 131,99 131,99 131,99 131,99 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-24 1 1 132,58 132,58 132,58 132,58 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-25 1 1 133,52 133,52 133,52 133,52 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-02-28 1 1 134,72 134,72 134,72 134,72 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-01 1 1 134,56 134,56 134,56 134,56 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-02 1 1 135,42 135,42 135,42 135,42 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-03 1 1 135,87 135,87 135,87 135,87 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-04 1 1 136,96 136,96 136,96 136,96 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-07 1 1 137,2 137,2 137,2 137,2 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-08 1 1 137,48 137,48 137,48 137,48 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-09 1 1 137,38 137,38 137,38 137,38 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-10 1 1 136,14 136,14 136,14 136,14 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-11 1 1 137,06 137,06 137,06 137,06 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-14 1 1 137,23 137,23 137,23 137,23 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-15 1 1 138,03 138,03 138,03 138,03 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-16 1 1 137,91 137,91 137,91 137,91 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-17 1 1 138,33 138,33 138,33 138,33 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-18 1 1 138,87 138,87 138,87 138,87 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-21 1 1 138,75 138,75 138,75 138,75 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-22 1 1 139,13 139,13 139,13 139,13 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-23 1 1 138,91 138,91 138,91 138,91 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-24 1 1 139,88 139,88 139,88 139,88 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-29 1 1 140,14 140,14 140,14 140,14 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-30 1 1 138,73 138,73 138,73 138,73 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-03-31 1 1 139,62 139,62 139,62 139,62 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-01 1 1 140,7 140,7 140,7 140,7 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-04 1 1 140,3 140,3 140,3 140,3 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-05 1 1 140,98 140,98 140,98 140,98 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-06 1 1 141,8 141,8 141,8 141,8 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-07 1 1 141,88 141,88 141,88 141,88 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-08 1 1 142,15 142,15 142,15 142,15 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-11 1 1 142 142 142 142 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-12 1 1 141,92 141,92 141,92 141,92 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-13 1 1 143,01 143,01 143,01 143,01 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-14 1 1 142,74 142,74 142,74 142,74 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-15 1 1 140,46 140,46 140,46 140,46 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-18 1 1 137,29 137,29 137,29 137,29 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-19 1 1 138,73 138,73 138,73 138,73 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-20 1 1 139,37 139,37 139,37 139,37 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-21 1 1 138,28 138,28 138,28 138,28 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-22 1 1 138,99 138,99 138,99 138,99 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-25 1 1 138,61 138,61 138,61 138,61 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-26 1 1 138,12 138,12 138,12 138,12 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-27 1 1 135,19 135,19 135,19 135,19 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-28 1 1 133,66 133,66 133,66 133,66 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-04-29 1 1 133,11 133,11 133,11 133,11 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-02 1 1 133,85 133,85 133,85 133,85 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-03 1 1 133,56 133,56 133,56 133,56 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-04 1 1 132,58 132,58 132,58 132,58 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-06 1 1 132,92 132,92 132,92 132,92 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-09 1 1 132,94 132,94 132,94 132,94 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-10 1 1 132,54 132,54 132,54 132,54 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-11 1 1 131,83 131,83 131,83 131,83 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-12 1 1 132,56 132,56 132,56 132,56 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-13 1 1 132,07 132,07 132,07 132,07 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-16 1 1 132,56 132,56 132,56 132,56 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-17 1 1 132,97 132,97 132,97 132,97 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-18 1 1 133,87 133,87 133,87 133,87 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-19 1 1 134,46 134,46 134,46 134,46 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-20 1 1 135,37 135,37 135,37 135,37 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-23 1 1 135,44 135,44 135,44 135,44 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-24 1 1 135,1 135,1 135,1 135,1 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-25 1 1 134,87 134,87 134,87 134,87 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-26 1 1 135,78 135,78 135,78 135,78 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-27 1 1 136,4 136,4 136,4 136,4 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-30 1 1 136,59 136,59 136,59 136,59 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-05-31 1 1 136,99 136,99 136,99 136,99 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-01 1 1 136,95 136,95 136,95 136,95 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-02 1 1 136,85 136,85 136,85 136,85 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-03 1 1 136,24 136,24 136,24 136,24 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-07 1 1 136,68 136,68 136,68 136,68 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-08 1 1 137,36 137,36 137,36 137,36 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-09 1 1 138,23 138,23 138,23 138,23 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-10 1 1 138,94 138,94 138,94 138,94 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-13 1 1 139,84 139,84 139,84 139,84 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-14 1 1 140,21 140,21 140,21 140,21 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-15 1 1 141,14 141,14 141,14 141,14 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-16 1 1 140,98 140,98 140,98 140,98 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-17 1 1 141,74 141,74 141,74 141,74 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-20 1 1 142,04 142,04 142,04 142,04 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-21 1 1 142,3 142,3 142,3 142,3 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-22 1 1 143,22 143,22 143,22 143,22 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-23 1 1 143,76 143,76 143,76 143,76 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-27 1 1 142,21 142,21 142,21 142,21 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-28 1 1 142,79 142,79 142,79 142,79 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-29 1 1 143,78 143,78 143,78 143,78 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-06-30 1 1 144,23 144,23 144,23 144,23 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-01 1 1 144,74 144,74 144,74 144,74 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-04 1 1 145,12 145,12 145,12 145,12 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-05 1 1 145,15 145,15 145,15 145,15 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-06 1 1 145,76 145,76 145,76 145,76 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-07 1 1 143,2 143,2 143,2 143,2 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-08 1 1 145,49 145,49 145,49 145,49 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-11 1 1 147,2 147,2 147,2 147,2 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-12 1 1 147,3 147,3 147,3 147,3 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-13 1 1 147,77 147,77 147,77 147,77 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-14 1 1 147,68 147,68 147,68 147,68 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-15 1 1 147,09 147,09 147,09 147,09 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-18 1 1 147,28 147,28 147,28 147,28 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-19 1 1 146,68 146,68 146,68 146,68 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-20 1 1 146,72 146,72 146,72 146,72 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-21 1 1 147,62 147,62 147,62 147,62 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-22 1 1 147,91 147,91 147,91 147,91 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-25 1 1 147,85 147,85 147,85 147,85 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-26 1 1 148,48 148,48 148,48 148,48 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-27 1 1 149,02 149,02 149,02 149,02 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-28 1 1 149,99 149,99 149,99 149,99 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-07-29 1 1 150,32 150,32 150,32 150,32 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-01 1 1 150,75 150,75 150,75 150,75 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-02 1 1 150,8 150,8 150,8 150,8 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-03 1 1 151,96 151,96 151,96 151,96 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-04 1 1 151,97 151,97 151,97 151,97 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-05 1 1 150,96 150,96 150,96 150,96 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-08 1 1 152,46 152,46 152,46 152,46 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-09 1 1 153,47 153,47 153,47 153,47 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-10 1 1 155,62 155,62 155,62 155,62 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-11 1 1 154,78 154,78 154,78 154,78 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-12 1 1 155,35 155,35 155,35 155,35 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-15 1 1 155,36 155,36 155,36 155,36 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-16 1 1 156,37 156,37 156,37 156,37 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-17 1 1 155,03 155,03 155,03 155,03 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-18 1 1 155,44 155,44 155,44 155,44 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-19 1 1 155,86 155,86 155,86 155,86 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-22 1 1 156,14 156,14 156,14 156,14 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-23 1 1 156,23 156,23 156,23 156,23 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-24 1 1 154,67 154,67 154,67 154,67 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-25 1 1 153,52 153,52 153,52 153,52 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-26 1 1 153,64 153,64 153,64 153,64 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-29 1 1 153,31 153,31 153,31 153,31 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-30 1 1 154,07 154,07 154,07 154,07 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-08-31 1 1 154,45 154,45 154,45 154,45 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-01 1 1 155,52 155,52 155,52 155,52 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-02 1 1 154,67 154,67 154,67 154,67 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-05 1 1 155,3 155,3 155,3 155,3 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-06 1 1 156,4 156,4 156,4 156,4 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-07 1 1 157,35 157,35 157,35 157,35 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-08 1 1 157,68 157,68 157,68 157,68 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-09 1 1 158,02 158,02 158,02 158,02 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-12 1 1 158,08 158,08 158,08 158,08 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-13 1 1 158,38 158,38 158,38 158,38 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-14 1 1 158,84 158,84 158,84 158,84 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-15 1 1 159,1 159,1 159,1 159,1 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-16 1 1 159,38 159,38 159,38 159,38 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-19 1 1 159,96 159,96 159,96 159,96 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-20 1 1 160,06 160,06 160,06 160,06 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-21 1 1 159,88 159,88 159,88 159,88 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-22 1 1 159,84 159,84 159,84 159,84 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-23 1 1 160,1 160,1 160,1 160,1 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-26 1 1 161,28 161,28 161,28 161,28 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-27 1 1 162,05 162,05 162,05 162,05 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-28 1 1 162,16 162,16 162,16 162,16 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-29 1 1 162,42 162,42 162,42 162,42 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-09-30 1 1 163,11 163,11 163,11 163,11 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-03 1 1 164,31 164,31 164,31 164,31 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-04 1 1 164,63 164,63 164,63 164,63 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-05 1 1 163,75 163,75 163,75 163,75 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-06 1 1 161,41 161,41 161,41 161,41 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-07 1 1 162,29 162,29 162,29 162,29 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-10 1 1 162,65 162,65 162,65 162,65 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-11 1 1 163,38 163,38 163,38 163,38 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-12 1 1 162,89 162,89 162,89 162,89 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-13 1 1 160,75 160,75 160,75 160,75 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-14 1 1 160,5 160,5 160,5 160,5 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-17 1 1 160,95 160,95 160,95 160,95 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-18 1 1 161,58 161,58 161,58 161,58 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-19 1 1 158,18 158,18 158,18 158,18 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-20 1 1 158,96 158,96 158,96 158,96 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-21 1 1 156,65 156,65 156,65 156,65 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-24 1 1 158,04 158,04 158,04 158,04 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-25 1 1 160 160 160 160 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-26 1 1 160,54 160,54 160,54 160,54 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-27 1 1 160,59 160,59 160,59 160,59 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-28 1 1 159,93 159,93 159,93 159,93 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-10-31 1 1 161,76 161,76 161,76 161,76 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-01 1 1 162,98 162,98 162,98 162,98 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-02 1 1 164,39 164,39 164,39 164,39 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-03 1 1 165,79 165,79 165,79 165,79 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-04 1 1 166,24 166,24 166,24 166,24 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-07 1 1 166,6 166,6 166,6 166,6 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-08 1 1 167,17 167,17 167,17 167,17 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-09 1 1 167,46 167,46 167,46 167,46 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-10 1 1 167,93 167,93 167,93 167,93 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-11 1 1 168,92 168,92 168,92 168,92 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-14 1 1 168,78 168,78 168,78 168,78 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-15 1 1 169,06 169,06 169,06 169,06 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-16 1 1 168,82 168,82 168,82 168,82 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-17 1 1 169,54 169,54 169,54 169,54 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-18 1 1 170,07 170,07 170,07 170,07 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-21 1 1 171,06 171,06 171,06 171,06 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-22 1 1 171,82 171,82 171,82 171,82 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-23 1 1 172,17 172,17 172,17 172,17 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-24 1 1 172,19 172,19 172,19 172,19 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-25 1 1 172,45 172,45 172,45 172,45 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-28 1 1 172,56 172,56 172,56 172,56 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-29 1 1 172,74 172,74 172,74 172,74 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-11-30 1 1 173,24 173,24 173,24 173,24 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-01 1 1 174,3 174,3 174,3 174,3 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-02 1 1 175,53 175,53 175,53 175,53 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-05 1 1 174,75 174,75 174,75 174,75 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-06 1 1 176,39 176,39 176,39 176,39 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-07 1 1 176,29 176,29 176,29 176,29 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-08 1 1 175,89 175,89 175,89 175,89 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-12 1 1 177,14 177,14 177,14 177,14 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-13 1 1 177,41 177,41 177,41 177,41 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-14 1 1 176,88 176,88 176,88 176,88 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-15 1 1 176,96 176,96 176,96 176,96 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-16 1 1 178,32 178,32 178,32 178,32 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-19 1 1 178,6 178,6 178,6 178,6 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-20 1 1 179,05 179,05 179,05 179,05 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-21 1 1 180,59 180,59 180,59 180,59 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-22 1 1 181,96 181,96 181,96 181,96 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-23 1 1 183,07 183,07 183,07 183,07 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-27 1 1 184,4 184,4 184,4 184,4 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-28 1 1 184,76 184,76 184,76 184,76 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-29 1 1 185,24 185,24 185,24 185,24 269357 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Småbolag SEK 2005-12-30 1 1 185,71 185,71 185,71 185,71 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-03 1 1 198,07 198,07 198,07 198,07 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-04 1 1 198,82 198,82 198,82 198,82 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-05 1 1 197,49 197,49 197,49 197,49 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-07 1 1 197,76 197,76 197,76 197,76 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-10 1 1 199,55 199,55 199,55 199,55 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-11 1 1 198,76 198,76 198,76 198,76 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-12 1 1 196,83 196,83 196,83 196,83 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-13 1 1 195,41 195,41 195,41 195,41 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-14 1 1 196 196 196 196 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-17 1 1 197,45 197,45 197,45 197,45 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-18 1 1 196,73 196,73 196,73 196,73 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-19 1 1 198,52 198,52 198,52 198,52 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-20 1 1 196,29 196,29 196,29 196,29 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-21 1 1 196,12 196,12 196,12 196,12 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-24 1 1 193,86 193,86 193,86 193,86 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-25 1 1 194,92 194,92 194,92 194,92 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-26 1 1 195,74 195,74 195,74 195,74 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-27 1 1 196,61 196,61 196,61 196,61 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-28 1 1 195,45 195,45 195,45 195,45 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-01-31 1 1 196,54 196,54 196,54 196,54 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-01 1 1 197,29 197,29 197,29 197,29 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-02 1 1 198,98 198,98 198,98 198,98 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-03 1 1 198,56 198,56 198,56 198,56 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-04 1 1 199,76 199,76 199,76 199,76 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-07 1 1 201,66 201,66 201,66 201,66 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-08 1 1 201,97 201,97 201,97 201,97 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-09 1 1 203,48 203,48 203,48 203,48 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-10 1 1 201,68 201,68 201,68 201,68 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-11 1 1 202,47 202,47 202,47 202,47 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-14 1 1 203,34 203,34 203,34 203,34 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-15 1 1 204,3 204,3 204,3 204,3 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-16 1 1 202,76 202,76 202,76 202,76 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-17 1 1 203,92 203,92 203,92 203,92 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-18 1 1 202,27 202,27 202,27 202,27 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-21 1 1 202,96 202,96 202,96 202,96 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-22 1 1 201,7 201,7 201,7 201,7 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-23 1 1 202,15 202,15 202,15 202,15 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-24 1 1 202,71 202,71 202,71 202,71 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-25 1 1 204,08 204,08 204,08 204,08 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-02-28 1 1 205,4 205,4 205,4 205,4 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-01 1 1 205,46 205,46 205,46 205,46 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-02 1 1 205,89 205,89 205,89 205,89 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-03 1 1 207,82 207,82 207,82 207,82 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-04 1 1 208,83 208,83 208,83 208,83 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-07 1 1 208,44 208,44 208,44 208,44 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-08 1 1 207,72 207,72 207,72 207,72 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-09 1 1 207,22 207,22 207,22 207,22 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-10 1 1 205,38 205,38 205,38 205,38 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-11 1 1 206,11 206,11 206,11 206,11 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-14 1 1 206,04 206,04 206,04 206,04 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-15 1 1 207,29 207,29 207,29 207,29 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-16 1 1 205,3 205,3 205,3 205,3 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-17 1 1 205,28 205,28 205,28 205,28 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-18 1 1 205,38 205,38 205,38 205,38 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-21 1 1 204,33 204,33 204,33 204,33 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-22 1 1 205 205 205 205 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-23 1 1 203,83 203,83 203,83 203,83 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-24 1 1 206,2 206,2 206,2 206,2 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-29 1 1 205,44 205,44 205,44 205,44 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-30 1 1 204,37 204,37 204,37 204,37 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-03-31 1 1 205,78 205,78 205,78 205,78 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-01 1 1 206,26 206,26 206,26 206,26 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-04 1 1 205,94 205,94 205,94 205,94 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-05 1 1 207,64 207,64 207,64 207,64 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-06 1 1 209,98 209,98 209,98 209,98 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-07 1 1 210,38 210,38 210,38 210,38 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-08 1 1 211,28 211,28 211,28 211,28 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-11 1 1 212,17 212,17 212,17 212,17 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-12 1 1 212,29 212,29 212,29 212,29 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-13 1 1 213,73 213,73 213,73 213,73 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-14 1 1 214,58 214,58 214,58 214,58 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-15 1 1 211,33 211,33 211,33 211,33 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-18 1 1 207,92 207,92 207,92 207,92 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-19 1 1 209,25 209,25 209,25 209,25 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-20 1 1 210,35 210,35 210,35 210,35 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-21 1 1 209,54 209,54 209,54 209,54 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-22 1 1 212,01 212,01 212,01 212,01 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-25 1 1 211,36 211,36 211,36 211,36 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-26 1 1 209,6 209,6 209,6 209,6 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-27 1 1 205,78 205,78 205,78 205,78 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-28 1 1 202,24 202,24 202,24 202,24 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-04-29 1 1 203,97 203,97 203,97 203,97 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-02 1 1 205,28 205,28 205,28 205,28 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-03 1 1 204,88 204,88 204,88 204,88 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-04 1 1 205,2 205,2 205,2 205,2 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-06 1 1 207,63 207,63 207,63 207,63 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-09 1 1 207,97 207,97 207,97 207,97 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-10 1 1 206,84 206,84 206,84 206,84 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-11 1 1 206,66 206,66 206,66 206,66 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-12 1 1 208,39 208,39 208,39 208,39 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-13 1 1 207,85 207,85 207,85 207,85 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-16 1 1 208,06 208,06 208,06 208,06 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-17 1 1 209,32 209,32 209,32 209,32 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-18 1 1 211,03 211,03 211,03 211,03 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-19 1 1 212,1 212,1 212,1 212,1 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-20 1 1 211,82 211,82 211,82 211,82 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-23 1 1 212,09 212,09 212,09 212,09 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-24 1 1 212,03 212,03 212,03 212,03 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-25 1 1 212,89 212,89 212,89 212,89 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-26 1 1 213,66 213,66 213,66 213,66 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-27 1 1 214,27 214,27 214,27 214,27 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-30 1 1 214,52 214,52 214,52 214,52 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-05-31 1 1 215,41 215,41 215,41 215,41 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-01 1 1 214,5 214,5 214,5 214,5 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-02 1 1 213,79 213,79 213,79 213,79 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-03 1 1 213,28 213,28 213,28 213,28 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-07 1 1 212,68 212,68 212,68 212,68 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-08 1 1 209,02 209,02 209,02 209,02 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-09 1 1 209,36 209,36 209,36 209,36 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-10 1 1 210,17 210,17 210,17 210,17 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-13 1 1 210,46 210,46 210,46 210,46 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-14 1 1 211,71 211,71 211,71 211,71 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-15 1 1 212,23 212,23 212,23 212,23 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-16 1 1 212,18 212,18 212,18 212,18 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-17 1 1 213,47 213,47 213,47 213,47 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-20 1 1 213,14 213,14 213,14 213,14 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-21 1 1 214,47 214,47 214,47 214,47 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-22 1 1 215,47 215,47 215,47 215,47 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-23 1 1 216,71 216,71 216,71 216,71 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-27 1 1 213,36 213,36 213,36 213,36 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-28 1 1 214,2 214,2 214,2 214,2 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-29 1 1 216,15 216,15 216,15 216,15 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-06-30 1 1 217,03 217,03 217,03 217,03 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-01 1 1 217,67 217,67 217,67 217,67 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-04 1 1 219,16 219,16 219,16 219,16 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-05 1 1 219,13 219,13 219,13 219,13 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-06 1 1 220,01 220,01 220,01 220,01 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-07 1 1 216,18 216,18 216,18 216,18 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-08 1 1 219,21 219,21 219,21 219,21 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-11 1 1 222,45 222,45 222,45 222,45 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-12 1 1 223,53 223,53 223,53 223,53 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-13 1 1 224,72 224,72 224,72 224,72 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-14 1 1 225,53 225,53 225,53 225,53 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-15 1 1 224,74 224,74 224,74 224,74 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-18 1 1 224,6 224,6 224,6 224,6 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-19 1 1 224,28 224,28 224,28 224,28 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-20 1 1 223,46 223,46 223,46 223,46 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-21 1 1 225,45 225,45 225,45 225,45 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-22 1 1 226,09 226,09 226,09 226,09 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-25 1 1 225,23 225,23 225,23 225,23 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-26 1 1 226,58 226,58 226,58 226,58 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-27 1 1 227,32 227,32 227,32 227,32 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-28 1 1 228,36 228,36 228,36 228,36 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-07-29 1 1 229,08 229,08 229,08 229,08 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-01 1 1 229 229 229 229 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-02 1 1 229,71 229,71 229,71 229,71 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-03 1 1 230,44 230,44 230,44 230,44 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-04 1 1 229,46 229,46 229,46 229,46 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-05 1 1 228,82 228,82 228,82 228,82 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-08 1 1 229,07 229,07 229,07 229,07 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-09 1 1 229,49 229,49 229,49 229,49 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-10 1 1 231,83 231,83 231,83 231,83 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-11 1 1 231,45 231,45 231,45 231,45 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-12 1 1 231,36 231,36 231,36 231,36 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-15 1 1 230,58 230,58 230,58 230,58 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-16 1 1 231,66 231,66 231,66 231,66 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-17 1 1 228,95 228,95 228,95 228,95 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-18 1 1 229,74 229,74 229,74 229,74 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-19 1 1 230,94 230,94 230,94 230,94 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-22 1 1 231,16 231,16 231,16 231,16 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-23 1 1 230,56 230,56 230,56 230,56 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-24 1 1 226,4 226,4 226,4 226,4 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-25 1 1 225,13 225,13 225,13 225,13 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-26 1 1 223,45 223,45 223,45 223,45 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-29 1 1 223,12 223,12 223,12 223,12 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-30 1 1 225,11 225,11 225,11 225,11 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-08-31 1 1 226,04 226,04 226,04 226,04 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-01 1 1 227,69 227,69 227,69 227,69 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-02 1 1 226,64 226,64 226,64 226,64 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-05 1 1 228,35 228,35 228,35 228,35 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-06 1 1 229,74 229,74 229,74 229,74 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-07 1 1 230,73 230,73 230,73 230,73 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-08 1 1 229,86 229,86 229,86 229,86 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-09 1 1 230,66 230,66 230,66 230,66 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-12 1 1 231,79 231,79 231,79 231,79 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-13 1 1 231,36 231,36 231,36 231,36 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-14 1 1 232,07 232,07 232,07 232,07 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-15 1 1 231,48 231,48 231,48 231,48 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-16 1 1 231,8 231,8 231,8 231,8 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-19 1 1 232,25 232,25 232,25 232,25 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-20 1 1 231,19 231,19 231,19 231,19 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-21 1 1 230,29 230,29 230,29 230,29 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-22 1 1 229,9 229,9 229,9 229,9 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-23 1 1 230,81 230,81 230,81 230,81 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-26 1 1 233,33 233,33 233,33 233,33 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-27 1 1 234,42 234,42 234,42 234,42 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-28 1 1 236,12 236,12 236,12 236,12 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-29 1 1 236,66 236,66 236,66 236,66 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-09-30 1 1 237,76 237,76 237,76 237,76 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-03 1 1 238,92 238,92 238,92 238,92 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-04 1 1 239,47 239,47 239,47 239,47 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-05 1 1 238,02 238,02 238,02 238,02 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-06 1 1 235,39 235,39 235,39 235,39 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-07 1 1 235,55 235,55 235,55 235,55 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-10 1 1 237,06 237,06 237,06 237,06 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-11 1 1 237,4 237,4 237,4 237,4 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-12 1 1 235,3 235,3 235,3 235,3 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-13 1 1 232,01 232,01 232,01 232,01 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-14 1 1 232,48 232,48 232,48 232,48 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-17 1 1 231,88 231,88 231,88 231,88 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-18 1 1 230,89 230,89 230,89 230,89 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-19 1 1 227,66 227,66 227,66 227,66 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-20 1 1 228,8 228,8 228,8 228,8 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-21 1 1 225,37 225,37 225,37 225,37 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-24 1 1 227,87 227,87 227,87 227,87 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-25 1 1 230,65 230,65 230,65 230,65 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-26 1 1 232,31 232,31 232,31 232,31 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-27 1 1 230,34 230,34 230,34 230,34 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-28 1 1 228,8 228,8 228,8 228,8 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-10-31 1 1 232,62 232,62 232,62 232,62 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-01 1 1 234,37 234,37 234,37 234,37 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-02 1 1 234,69 234,69 234,69 234,69 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-03 1 1 238,45 238,45 238,45 238,45 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-04 1 1 238,43 238,43 238,43 238,43 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-07 1 1 239,61 239,61 239,61 239,61 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-08 1 1 239,93 239,93 239,93 239,93 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-09 1 1 239,5 239,5 239,5 239,5 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-10 1 1 240,87 240,87 240,87 240,87 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-11 1 1 242,24 242,24 242,24 242,24 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-14 1 1 243,16 243,16 243,16 243,16 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-15 1 1 242,65 242,65 242,65 242,65 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-16 1 1 242,44 242,44 242,44 242,44 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-17 1 1 243,78 243,78 243,78 243,78 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-18 1 1 245,25 245,25 245,25 245,25 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-21 1 1 245,74 245,74 245,74 245,74 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-22 1 1 246,21 246,21 246,21 246,21 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-23 1 1 246,18 246,18 246,18 246,18 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-24 1 1 246,18 246,18 246,18 246,18 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-25 1 1 247,17 247,17 247,17 247,17 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-28 1 1 248,04 248,04 248,04 248,04 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-29 1 1 247,49 247,49 247,49 247,49 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-11-30 1 1 246,09 246,09 246,09 246,09 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-01 1 1 247,9 247,9 247,9 247,9 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-02 1 1 250,31 250,31 250,31 250,31 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-05 1 1 251,01 251,01 251,01 251,01 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-06 1 1 252,37 252,37 252,37 252,37 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-07 1 1 252,86 252,86 252,86 252,86 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-08 1 1 252,38 252,38 252,38 252,38 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-12 1 1 254,11 254,11 254,11 254,11 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-13 1 1 254,07 254,07 254,07 254,07 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-14 1 1 252,96 252,96 252,96 252,96 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-15 1 1 253,18 253,18 253,18 253,18 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-16 1 1 254,45 254,45 254,45 254,45 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-19 1 1 256,1 256,1 256,1 256,1 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-20 1 1 255,42 255,42 255,42 255,42 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-21 1 1 256,7 256,7 256,7 256,7 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-22 1 1 258 258 258 258 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-23 1 1 260,43 260,43 260,43 260,43 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-27 1 1 262,1 262,1 262,1 262,1 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-28 1 1 262,14 262,14 262,14 262,14 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-29 1 1 263,14 263,14 263,14 263,14 681783 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Sverige SEK 2005-12-30 1 1 262,53 262,53 262,53 262,53 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-03 1 1 146,35 146,35 146,35 146,35 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-04 1 1 146,75 146,75 146,75 146,75 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-05 1 1 145,86 145,86 145,86 145,86 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-07 1 1 146,37 146,37 146,37 146,37 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-10 1 1 147,5 147,5 147,5 147,5 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-11 1 1 146,95 146,95 146,95 146,95 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-12 1 1 145,85 145,85 145,85 145,85 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-13 1 1 145,22 145,22 145,22 145,22 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-14 1 1 145,85 145,85 145,85 145,85 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-17 1 1 146,86 146,86 146,86 146,86 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-18 1 1 146,57 146,57 146,57 146,57 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-19 1 1 147,82 147,82 147,82 147,82 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-20 1 1 146,62 146,62 146,62 146,62 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-21 1 1 146,65 146,65 146,65 146,65 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-24 1 1 145,18 145,18 145,18 145,18 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-25 1 1 145,92 145,92 145,92 145,92 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-26 1 1 146,63 146,63 146,63 146,63 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-27 1 1 147,12 147,12 147,12 147,12 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-28 1 1 146,79 146,79 146,79 146,79 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-01-31 1 1 147,61 147,61 147,61 147,61 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-01 1 1 148,29 148,29 148,29 148,29 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-02 1 1 149,01 149,01 149,01 149,01 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-03 1 1 149,1 149,1 149,1 149,1 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-04 1 1 149,87 149,87 149,87 149,87 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-07 1 1 151,49 151,49 151,49 151,49 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-08 1 1 151,93 151,93 151,93 151,93 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-09 1 1 152,79 152,79 152,79 152,79 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-10 1 1 151,63 151,63 151,63 151,63 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-11 1 1 151,9 151,9 151,9 151,9 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-14 1 1 152,47 152,47 152,47 152,47 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-15 1 1 152,53 152,53 152,53 152,53 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-16 1 1 151,77 151,77 151,77 151,77 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-17 1 1 152,7 152,7 152,7 152,7 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-18 1 1 151,59 151,59 151,59 151,59 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-21 1 1 151,94 151,94 151,94 151,94 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-22 1 1 150,69 150,69 150,69 150,69 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-23 1 1 150,25 150,25 150,25 150,25 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-24 1 1 150,52 150,52 150,52 150,52 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-25 1 1 151,83 151,83 151,83 151,83 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-02-28 1 1 152,44 152,44 152,44 152,44 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-01 1 1 152,53 152,53 152,53 152,53 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-02 1 1 153,09 153,09 153,09 153,09 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-03 1 1 153,98 153,98 153,98 153,98 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-04 1 1 154,52 154,52 154,52 154,52 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-07 1 1 154,58 154,58 154,58 154,58 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-08 1 1 154,23 154,23 154,23 154,23 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-09 1 1 153,53 153,53 153,53 153,53 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-10 1 1 152,09 152,09 152,09 152,09 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-11 1 1 152,51 152,51 152,51 152,51 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-14 1 1 152,3 152,3 152,3 152,3 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-15 1 1 153,38 153,38 153,38 153,38 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-16 1 1 151,76 151,76 151,76 151,76 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-17 1 1 151,75 151,75 151,75 151,75 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-18 1 1 152,09 152,09 152,09 152,09 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-21 1 1 152,14 152,14 152,14 152,14 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-22 1 1 152,1 152,1 152,1 152,1 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-23 1 1 151,28 151,28 151,28 151,28 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-24 1 1 152,58 152,58 152,58 152,58 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-29 1 1 152,62 152,62 152,62 152,62 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-30 1 1 151,92 151,92 151,92 151,92 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-03-31 1 1 153,05 153,05 153,05 153,05 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-01 1 1 153,38 153,38 153,38 153,38 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-04 1 1 153,09 153,09 153,09 153,09 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-05 1 1 154,11 154,11 154,11 154,11 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-06 1 1 155,39 155,39 155,39 155,39 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-07 1 1 155,6 155,6 155,6 155,6 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-08 1 1 156,8 156,8 156,8 156,8 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-11 1 1 156,46 156,46 156,46 156,46 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-12 1 1 156,48 156,48 156,48 156,48 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-13 1 1 157,52 157,52 157,52 157,52 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-14 1 1 157,66 157,66 157,66 157,66 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-15 1 1 155,3 155,3 155,3 155,3 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-18 1 1 152,46 152,46 152,46 152,46 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-19 1 1 153,29 153,29 153,29 153,29 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-20 1 1 153,93 153,93 153,93 153,93 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-21 1 1 153,15 153,15 153,15 153,15 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-22 1 1 154,82 154,82 154,82 154,82 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-25 1 1 154,55 154,55 154,55 154,55 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-26 1 1 153,87 153,87 153,87 153,87 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-27 1 1 151,56 151,56 151,56 151,56 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-28 1 1 150,04 150,04 150,04 150,04 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-04-29 1 1 150,79 150,79 150,79 150,79 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-02 1 1 152,17 152,17 152,17 152,17 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-03 1 1 152,13 152,13 152,13 152,13 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-04 1 1 151,81 151,81 151,81 151,81 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-06 1 1 153,77 153,77 153,77 153,77 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-09 1 1 153,9 153,9 153,9 153,9 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-10 1 1 153,44 153,44 153,44 153,44 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-11 1 1 153,17 153,17 153,17 153,17 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-12 1 1 154,61 154,61 154,61 154,61 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-13 1 1 154,05 154,05 154,05 154,05 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-16 1 1 154,04 154,04 154,04 154,04 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-17 1 1 154,94 154,94 154,94 154,94 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-18 1 1 156,29 156,29 156,29 156,29 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-19 1 1 157,31 157,31 157,31 157,31 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-20 1 1 157,5 157,5 157,5 157,5 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-23 1 1 157,72 157,72 157,72 157,72 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-24 1 1 157,56 157,56 157,56 157,56 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-25 1 1 158,1 158,1 158,1 158,1 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-26 1 1 158,81 158,81 158,81 158,81 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-27 1 1 159,23 159,23 159,23 159,23 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-30 1 1 159,5 159,5 159,5 159,5 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-05-31 1 1 160,26 160,26 160,26 160,26 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-01 1 1 159,73 159,73 159,73 159,73 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-02 1 1 160,16 160,16 160,16 160,16 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-03 1 1 159,89 159,89 159,89 159,89 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-07 1 1 159,45 159,45 159,45 159,45 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-08 1 1 156,94 156,94 156,94 156,94 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-09 1 1 157,3 157,3 157,3 157,3 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-10 1 1 158,34 158,34 158,34 158,34 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-13 1 1 159,01 159,01 159,01 159,01 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-14 1 1 159,48 159,48 159,48 159,48 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-15 1 1 160,13 160,13 160,13 160,13 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-16 1 1 159,87 159,87 159,87 159,87 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-17 1 1 160,49 160,49 160,49 160,49 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-20 1 1 160,24 160,24 160,24 160,24 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-21 1 1 161,33 161,33 161,33 161,33 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-22 1 1 161,96 161,96 161,96 161,96 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-23 1 1 163,28 163,28 163,28 163,28 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-27 1 1 160,54 160,54 160,54 160,54 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-28 1 1 161,5 161,5 161,5 161,5 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-29 1 1 163,22 163,22 163,22 163,22 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-06-30 1 1 163,48 163,48 163,48 163,48 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-01 1 1 163,65 163,65 163,65 163,65 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-04 1 1 164,94 164,94 164,94 164,94 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-05 1 1 164,39 164,39 164,39 164,39 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-06 1 1 165,11 165,11 165,11 165,11 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-07 1 1 162,53 162,53 162,53 162,53 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-08 1 1 164,65 164,65 164,65 164,65 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-11 1 1 166,98 166,98 166,98 166,98 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-12 1 1 167,15 167,15 167,15 167,15 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-13 1 1 167,52 167,52 167,52 167,52 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-14 1 1 168,48 168,48 168,48 168,48 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-15 1 1 168,31 168,31 168,31 168,31 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-18 1 1 167,97 167,97 167,97 167,97 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-19 1 1 168,27 168,27 168,27 168,27 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-20 1 1 167,89 167,89 167,89 167,89 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-21 1 1 169,15 169,15 169,15 169,15 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-22 1 1 169,25 169,25 169,25 169,25 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-25 1 1 169,11 169,11 169,11 169,11 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-26 1 1 170,11 170,11 170,11 170,11 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-27 1 1 170,37 170,37 170,37 170,37 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-28 1 1 170,51 170,51 170,51 170,51 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-07-29 1 1 170,93 170,93 170,93 170,93 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-01 1 1 170,03 170,03 170,03 170,03 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-02 1 1 170,45 170,45 170,45 170,45 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-03 1 1 170,79 170,79 170,79 170,79 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-04 1 1 169,8 169,8 169,8 169,8 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-05 1 1 169,07 169,07 169,07 169,07 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-08 1 1 168,77 168,77 168,77 168,77 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-09 1 1 169,11 169,11 169,11 169,11 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-10 1 1 170,62 170,62 170,62 170,62 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-11 1 1 170,14 170,14 170,14 170,14 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-12 1 1 170,22 170,22 170,22 170,22 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-15 1 1 169,78 169,78 169,78 169,78 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-16 1 1 170,75 170,75 170,75 170,75 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-17 1 1 168,83 168,83 168,83 168,83 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-18 1 1 169,41 169,41 169,41 169,41 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-19 1 1 170,4 170,4 170,4 170,4 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-22 1 1 170,54 170,54 170,54 170,54 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-23 1 1 170,25 170,25 170,25 170,25 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-24 1 1 167,57 167,57 167,57 167,57 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-25 1 1 166,77 166,77 166,77 166,77 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-26 1 1 165,77 165,77 165,77 165,77 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-29 1 1 165,26 165,26 165,26 165,26 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-30 1 1 166,86 166,86 166,86 166,86 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-08-31 1 1 167,16 167,16 167,16 167,16 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-01 1 1 168,16 168,16 168,16 168,16 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-02 1 1 167,02 167,02 167,02 167,02 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-05 1 1 167,87 167,87 167,87 167,87 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-06 1 1 168,82 168,82 168,82 168,82 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-07 1 1 170,06 170,06 170,06 170,06 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-08 1 1 169,74 169,74 169,74 169,74 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-09 1 1 170,32 170,32 170,32 170,32 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-12 1 1 171,31 171,31 171,31 171,31 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-13 1 1 171,04 171,04 171,04 171,04 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-14 1 1 171,28 171,28 171,28 171,28 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-15 1 1 171,08 171,08 171,08 171,08 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-16 1 1 171,53 171,53 171,53 171,53 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-19 1 1 172,37 172,37 172,37 172,37 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-20 1 1 171,76 171,76 171,76 171,76 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-21 1 1 170,56 170,56 170,56 170,56 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-22 1 1 169,97 169,97 169,97 169,97 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-23 1 1 171,29 171,29 171,29 171,29 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-26 1 1 172,93 172,93 172,93 172,93 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-27 1 1 173,5 173,5 173,5 173,5 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-28 1 1 174,65 174,65 174,65 174,65 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-29 1 1 174,75 174,75 174,75 174,75 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-09-30 1 1 175,15 175,15 175,15 175,15 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-03 1 1 176,27 176,27 176,27 176,27 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-04 1 1 176,6 176,6 176,6 176,6 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-05 1 1 175,28 175,28 175,28 175,28 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-06 1 1 172,66 172,66 172,66 172,66 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-07 1 1 172,46 172,46 172,46 172,46 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-10 1 1 173,36 173,36 173,36 173,36 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-11 1 1 173,49 173,49 173,49 173,49 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-12 1 1 172,33 172,33 172,33 172,33 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-13 1 1 170,66 170,66 170,66 170,66 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-14 1 1 171,1 171,1 171,1 171,1 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-17 1 1 171,13 171,13 171,13 171,13 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-18 1 1 170,78 170,78 170,78 170,78 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-19 1 1 168,22 168,22 168,22 168,22 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-20 1 1 169,64 169,64 169,64 169,64 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-21 1 1 167,18 167,18 167,18 167,18 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-24 1 1 169,09 169,09 169,09 169,09 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-25 1 1 170,35 170,35 170,35 170,35 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-26 1 1 171,07 171,07 171,07 171,07 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-27 1 1 169,57 169,57 169,57 169,57 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-28 1 1 168,47 168,47 168,47 168,47 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-10-31 1 1 171,7 171,7 171,7 171,7 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-01 1 1 173,07 173,07 173,07 173,07 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-02 1 1 173,01 173,01 173,01 173,01 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-03 1 1 175,79 175,79 175,79 175,79 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-04 1 1 175,99 175,99 175,99 175,99 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-07 1 1 177,32 177,32 177,32 177,32 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-08 1 1 177,06 177,06 177,06 177,06 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-09 1 1 176,64 176,64 176,64 176,64 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-10 1 1 177,94 177,94 177,94 177,94 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-11 1 1 178,72 178,72 178,72 178,72 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-14 1 1 179,1 179,1 179,1 179,1 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-15 1 1 179,13 179,13 179,13 179,13 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-16 1 1 178,54 178,54 178,54 178,54 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-17 1 1 179,68 179,68 179,68 179,68 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-18 1 1 180,35 180,35 180,35 180,35 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-21 1 1 180,05 180,05 180,05 180,05 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-22 1 1 181,01 181,01 181,01 181,01 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-23 1 1 180,87 180,87 180,87 180,87 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-24 1 1 180,76 180,76 180,76 180,76 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-25 1 1 181,06 181,06 181,06 181,06 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-28 1 1 181,78 181,78 181,78 181,78 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-29 1 1 181,06 181,06 181,06 181,06 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-11-30 1 1 180,22 180,22 180,22 180,22 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-01 1 1 181,22 181,22 181,22 181,22 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-02 1 1 182,38 182,38 182,38 182,38 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-05 1 1 182,58 182,58 182,58 182,58 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-06 1 1 183,09 183,09 183,09 183,09 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-07 1 1 183,59 183,59 183,59 183,59 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-08 1 1 182,99 182,99 182,99 182,99 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-12 1 1 183,58 183,58 183,58 183,58 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-13 1 1 183,59 183,59 183,59 183,59 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-14 1 1 182,76 182,76 182,76 182,76 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-15 1 1 183 183 183 183 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-16 1 1 184,08 184,08 184,08 184,08 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-19 1 1 184,28 184,28 184,28 184,28 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-20 1 1 183,67 183,67 183,67 183,67 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-21 1 1 185,13 185,13 185,13 185,13 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-22 1 1 185,68 185,68 185,68 185,68 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-23 1 1 187,19 187,19 187,19 187,19 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-27 1 1 187,86 187,86 187,86 187,86 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-28 1 1 186,97 186,97 186,97 186,97 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-29 1 1 187,6 187,6 187,6 187,6 645952 AMF Pension Fondförvaltning AB AMF Pensions Aktiefond - Världen SEK 2005-12-30 1 1 186,95 186,95 186,95 186,95 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-03 1 1 129,19 129,19 129,19 129,19 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-04 1 1 129,52 129,52 129,52 129,52 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-05 1 1 128,86 128,86 128,86 128,86 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-07 1 1 129,3 129,3 129,3 129,3 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-10 1 1 130,07 130,07 130,07 130,07 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-11 1 1 129,72 129,72 129,72 129,72 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-12 1 1 129 129 129 129 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-13 1 1 128,68 128,68 128,68 128,68 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-14 1 1 129,11 129,11 129,11 129,11 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-17 1 1 129,81 129,81 129,81 129,81 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-18 1 1 129,62 129,62 129,62 129,62 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-19 1 1 130,44 130,44 130,44 130,44 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-20 1 1 129,56 129,56 129,56 129,56 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-21 1 1 129,64 129,64 129,64 129,64 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-24 1 1 128,82 128,82 128,82 128,82 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-25 1 1 129,29 129,29 129,29 129,29 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-26 1 1 129,64 129,64 129,64 129,64 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-27 1 1 129,89 129,89 129,89 129,89 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-28 1 1 129,73 129,73 129,73 129,73 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-01-31 1 1 130,3 130,3 130,3 130,3 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-01 1 1 130,73 130,73 130,73 130,73 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-02 1 1 131,25 131,25 131,25 131,25 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-03 1 1 131,25 131,25 131,25 131,25 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-04 1 1 131,84 131,84 131,84 131,84 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-07 1 1 132,86 132,86 132,86 132,86 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-08 1 1 133,13 133,13 133,13 133,13 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-09 1 1 133,73 133,73 133,73 133,73 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-10 1 1 133,05 133,05 133,05 133,05 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-11 1 1 133,26 133,26 133,26 133,26 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-14 1 1 133,54 133,54 133,54 133,54 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-15 1 1 133,6 133,6 133,6 133,6 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-16 1 1 133,18 133,18 133,18 133,18 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-17 1 1 133,63 133,63 133,63 133,63 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-18 1 1 132,86 132,86 132,86 132,86 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-21 1 1 133,01 133,01 133,01 133,01 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-22 1 1 132,21 132,21 132,21 132,21 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-23 1 1 132,09 132,09 132,09 132,09 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-24 1 1 132,2 132,2 132,2 132,2 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-25 1 1 132,96 132,96 132,96 132,96 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-02-28 1 1 133,4 133,4 133,4 133,4 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-01 1 1 133,42 133,42 133,42 133,42 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-02 1 1 133,69 133,69 133,69 133,69 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-03 1 1 134,31 134,31 134,31 134,31 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-04 1 1 134,73 134,73 134,73 134,73 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-07 1 1 134,79 134,79 134,79 134,79 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-08 1 1 134,64 134,64 134,64 134,64 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-09 1 1 134,13 134,13 134,13 134,13 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-10 1 1 133,25 133,25 133,25 133,25 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-11 1 1 133,46 133,46 133,46 133,46 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-14 1 1 133,37 133,37 133,37 133,37 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-15 1 1 134,06 134,06 134,06 134,06 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-16 1 1 133,08 133,08 133,08 133,08 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-17 1 1 133,09 133,09 133,09 133,09 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-18 1 1 133,25 133,25 133,25 133,25 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-21 1 1 133,21 133,21 133,21 133,21 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-22 1 1 133,25 133,25 133,25 133,25 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-23 1 1 132,75 132,75 132,75 132,75 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-24 1 1 133,6 133,6 133,6 133,6 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-29 1 1 133,6 133,6 133,6 133,6 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-30 1 1 133,25 133,25 133,25 133,25 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-03-31 1 1 133,97 133,97 133,97 133,97 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-01 1 1 134,25 134,25 134,25 134,25 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-04 1 1 134,13 134,13 134,13 134,13 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-05 1 1 134,78 134,78 134,78 134,78 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-06 1 1 135,6 135,6 135,6 135,6 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-07 1 1 135,71 135,71 135,71 135,71 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-08 1 1 136,38 136,38 136,38 136,38 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-11 1 1 136,32 136,32 136,32 136,32 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-12 1 1 136,33 136,33 136,33 136,33 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-13 1 1 137,08 137,08 137,08 137,08 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-14 1 1 137,22 137,22 137,22 137,22 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-15 1 1 135,9 135,9 135,9 135,9 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-18 1 1 134,24 134,24 134,24 134,24 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-19 1 1 134,75 134,75 134,75 134,75 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-20 1 1 135,12 135,12 135,12 135,12 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-21 1 1 134,76 134,76 134,76 134,76 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-22 1 1 135,88 135,88 135,88 135,88 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-25 1 1 135,81 135,81 135,81 135,81 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-26 1 1 135,41 135,41 135,41 135,41 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-27 1 1 133,98 133,98 133,98 133,98 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-28 1 1 133,08 133,08 133,08 133,08 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-04-29 1 1 133,57 133,57 133,57 133,57 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-02 1 1 134,5 134,5 134,5 134,5 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-03 1 1 134,42 134,42 134,42 134,42 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-04 1 1 134,1 134,1 134,1 134,1 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-06 1 1 135,13 135,13 135,13 135,13 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-09 1 1 135,3 135,3 135,3 135,3 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-10 1 1 135,16 135,16 135,16 135,16 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-11 1 1 135,11 135,11 135,11 135,11 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-12 1 1 135,96 135,96 135,96 135,96 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-13 1 1 135,71 135,71 135,71 135,71 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-16 1 1 135,76 135,76 135,76 135,76 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-17 1 1 136,25 136,25 136,25 136,25 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-18 1 1 137,16 137,16 137,16 137,16 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-19 1 1 137,74 137,74 137,74 137,74 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-20 1 1 137,67 137,67 137,67 137,67 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-23 1 1 137,8 137,8 137,8 137,8 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-24 1 1 137,85 137,85 137,85 137,85 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-25 1 1 138,26 138,26 138,26 138,26 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-26 1 1 138,55 138,55 138,55 138,55 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-27 1 1 138,83 138,83 138,83 138,83 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-30 1 1 138,91 138,91 138,91 138,91 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-05-31 1 1 139,51 139,51 139,51 139,51 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-01 1 1 139,23 139,23 139,23 139,23 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-02 1 1 139,54 139,54 139,54 139,54 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-03 1 1 139,56 139,56 139,56 139,56 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-07 1 1 139,38 139,38 139,38 139,38 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-08 1 1 136,13 136,13 136,13 136,13 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-09 1 1 136,31 136,31 136,31 136,31 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-10 1 1 136,94 136,94 136,94 136,94 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-13 1 1 137,15 137,15 137,15 137,15 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-14 1 1 137,43 137,43 137,43 137,43 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-15 1 1 137,71 137,71 137,71 137,71 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-16 1 1 137,37 137,37 137,37 137,37 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-17 1 1 137,84 137,84 137,84 137,84 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-20 1 1 137,77 137,77 137,77 137,77 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-21 1 1 138,61 138,61 138,61 138,61 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-22 1 1 139,18 139,18 139,18 139,18 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-23 1 1 139,87 139,87 139,87 139,87 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-27 1 1 138,41 138,41 138,41 138,41 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-28 1 1 138,86 138,86 138,86 138,86 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-29 1 1 139,84 139,84 139,84 139,84 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-06-30 1 1 139,99 139,99 139,99 139,99 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-01 1 1 140,16 140,16 140,16 140,16 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-04 1 1 140,77 140,77 140,77 140,77 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-05 1 1 140,38 140,38 140,38 140,38 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-06 1 1 140,8 140,8 140,8 140,8 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-07 1 1 139,44 139,44 139,44 139,44 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-08 1 1 140,64 140,64 140,64 140,64 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-11 1 1 141,85 141,85 141,85 141,85 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-12 1 1 141,94 141,94 141,94 141,94 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-13 1 1 142,18 142,18 142,18 142,18 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-14 1 1 142,72 142,72 142,72 142,72 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-15 1 1 142,5 142,5 142,5 142,5 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-18 1 1 142,38 142,38 142,38 142,38 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-19 1 1 142,45 142,45 142,45 142,45 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-20 1 1 142,24 142,24 142,24 142,24 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-21 1 1 143,05 143,05 143,05 143,05 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-22 1 1 143,19 143,19 143,19 143,19 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-25 1 1 143,16 143,16 143,16 143,16 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-26 1 1 143,69 143,69 143,69 143,69 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-27 1 1 143,91 143,91 143,91 143,91 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-28 1 1 143,95 143,95 143,95 143,95 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-07-29 1 1 144,15 144,15 144,15 144,15 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-01 1 1 143,52 143,52 143,52 143,52 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-02 1 1 143,64 143,64 143,64 143,64 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-03 1 1 143,85 143,85 143,85 143,85 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-04 1 1 143,34 143,34 143,34 143,34 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-05 1 1 142,82 142,82 142,82 142,82 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-08 1 1 142,68 142,68 142,68 142,68 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-09 1 1 142,89 142,89 142,89 142,89 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-10 1 1 143,85 143,85 143,85 143,85 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-11 1 1 143,62 143,62 143,62 143,62 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-12 1 1 143,69 143,69 143,69 143,69 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-15 1 1 143,5 143,5 143,5 143,5 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-16 1 1 144,04 144,04 144,04 144,04 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-17 1 1 142,97 142,97 142,97 142,97 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-18 1 1 143,32 143,32 143,32 143,32 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-19 1 1 143,84 143,84 143,84 143,84 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-22 1 1 144,04 144,04 144,04 144,04 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-23 1 1 143,91 143,91 143,91 143,91 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-24 1 1 142,41 142,41 142,41 142,41 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-25 1 1 142,01 142,01 142,01 142,01 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-26 1 1 141,43 141,43 141,43 141,43 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-29 1 1 141,13 141,13 141,13 141,13 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-30 1 1 142,02 142,02 142,02 142,02 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-08-31 1 1 142,3 142,3 142,3 142,3 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-01 1 1 143,03 143,03 143,03 143,03 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-02 1 1 142,4 142,4 142,4 142,4 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-05 1 1 143 143 143 143 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-06 1 1 143,48 143,48 143,48 143,48 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-07 1 1 144,08 144,08 144,08 144,08 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-08 1 1 144 144 144 144 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-09 1 1 144,42 144,42 144,42 144,42 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-12 1 1 144,83 144,83 144,83 144,83 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-13 1 1 144,64 144,64 144,64 144,64 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-14 1 1 144,86 144,86 144,86 144,86 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-15 1 1 144,64 144,64 144,64 144,64 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-16 1 1 144,86 144,86 144,86 144,86 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-19 1 1 145,32 145,32 145,32 145,32 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-20 1 1 145,05 145,05 145,05 145,05 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-21 1 1 144,52 144,52 144,52 144,52 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-22 1 1 144,22 144,22 144,22 144,22 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-23 1 1 144,8 144,8 144,8 144,8 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-26 1 1 145,64 145,64 145,64 145,64 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-27 1 1 145,98 145,98 145,98 145,98 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-28 1 1 146,59 146,59 146,59 146,59 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-29 1 1 146,62 146,62 146,62 146,62 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-09-30 1 1 146,88 146,88 146,88 146,88 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-03 1 1 147,39 147,39 147,39 147,39 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-04 1 1 147,54 147,54 147,54 147,54 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-05 1 1 146,86 146,86 146,86 146,86 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-06 1 1 145,43 145,43 145,43 145,43 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-07 1 1 145,27 145,27 145,27 145,27 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-10 1 1 145,8 145,8 145,8 145,8 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-11 1 1 145,9 145,9 145,9 145,9 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-12 1 1 145,13 145,13 145,13 145,13 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-13 1 1 144,13 144,13 144,13 144,13 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-14 1 1 144,42 144,42 144,42 144,42 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-17 1 1 144,37 144,37 144,37 144,37 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-18 1 1 144,11 144,11 144,11 144,11 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-19 1 1 142,78 142,78 142,78 142,78 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-20 1 1 143,46 143,46 143,46 143,46 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-21 1 1 142,15 142,15 142,15 142,15 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-24 1 1 143,24 143,24 143,24 143,24 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-25 1 1 143,88 143,88 143,88 143,88 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-26 1 1 144,15 144,15 144,15 144,15 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-27 1 1 143,34 143,34 143,34 143,34 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-28 1 1 142,7 142,7 142,7 142,7 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-10-31 1 1 144,44 144,44 144,44 144,44 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-01 1 1 145,21 145,21 145,21 145,21 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-02 1 1 145,07 145,07 145,07 145,07 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-03 1 1 146,64 146,64 146,64 146,64 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-04 1 1 146,6 146,6 146,6 146,6 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-07 1 1 147,26 147,26 147,26 147,26 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-08 1 1 147,09 147,09 147,09 147,09 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-09 1 1 146,92 146,92 146,92 146,92 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-10 1 1 147,59 147,59 147,59 147,59 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-11 1 1 148,03 148,03 148,03 148,03 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-14 1 1 148,34 148,34 148,34 148,34 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-15 1 1 148,25 148,25 148,25 148,25 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-16 1 1 148,09 148,09 148,09 148,09 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-17 1 1 148,68 148,68 148,68 148,68 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-18 1 1 149,03 149,03 149,03 149,03 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-21 1 1 148,89 148,89 148,89 148,89 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-22 1 1 149,39 149,39 149,39 149,39 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-23 1 1 149,36 149,36 149,36 149,36 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-24 1 1 149,37 149,37 149,37 149,37 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-25 1 1 149,57 149,57 149,57 149,57 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-28 1 1 149,94 149,94 149,94 149,94 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-29 1 1 149,6 149,6 149,6 149,6 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-11-30 1 1 149,04 149,04 149,04 149,04 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-01 1 1 149,7 149,7 149,7 149,7 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-02 1 1 150,21 150,21 150,21 150,21 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-05 1 1 150,26 150,26 150,26 150,26 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-06 1 1 150,61 150,61 150,61 150,61 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-07 1 1 150,87 150,87 150,87 150,87 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-08 1 1 150,57 150,57 150,57 150,57 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-12 1 1 150,9 150,9 150,9 150,9 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-13 1 1 150,94 150,94 150,94 150,94 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-14 1 1 150,6 150,6 150,6 150,6 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-15 1 1 150,7 150,7 150,7 150,7 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-16 1 1 151,35 151,35 151,35 151,35 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-19 1 1 151,58 151,58 151,58 151,58 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-20 1 1 151,26 151,26 151,26 151,26 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-21 1 1 151,98 151,98 151,98 151,98 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-22 1 1 152,26 152,26 152,26 152,26 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-23 1 1 153,15 153,15 153,15 153,15 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-27 1 1 153,63 153,63 153,63 153,63 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-28 1 1 153,19 153,19 153,19 153,19 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-29 1 1 153,51 153,51 153,51 153,51 610121 AMF Pension Fondförvaltning AB AMF Pensions Balansfond SEK 2005-12-30 1 1 153,15 153,15 153,15 153,15 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-03 1 1 106,32 106,32 106,32 106,32 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-04 1 1 106,6 106,6 106,6 106,6 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-05 1 1 106,03 106,03 106,03 106,03 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-07 1 1 107,14 107,14 107,14 107,14 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-10 1 1 107,13 107,13 107,13 107,13 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-11 1 1 106,08 106,08 106,08 106,08 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-12 1 1 105,99 105,99 105,99 105,99 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-13 1 1 106,09 106,09 106,09 106,09 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-14 1 1 106,75 106,75 106,75 106,75 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-17 1 1 107,32 107,32 107,32 107,32 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-18 1 1 106,88 106,88 106,88 106,88 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-19 1 1 107,96 107,96 107,96 107,96 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-20 1 1 106,84 106,84 106,84 106,84 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-21 1 1 107,63 107,63 107,63 107,63 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-24 1 1 107,35 107,35 107,35 107,35 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-25 1 1 108,19 108,19 108,19 108,19 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-26 1 1 108,67 108,67 108,67 108,67 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-27 1 1 108,45 108,45 108,45 108,45 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-28 1 1 108,95 108,95 108,95 108,95 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-01-31 1 1 109,77 109,77 109,77 109,77 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-01 1 1 110,17 110,17 110,17 110,17 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-02 1 1 110,3 110,3 110,3 110,3 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-03 1 1 110,06 110,06 110,06 110,06 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-04 1 1 110,78 110,78 110,78 110,78 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-07 1 1 111,77 111,77 111,77 111,77 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-08 1 1 111,68 111,68 111,68 111,68 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-09 1 1 112,11 112,11 112,11 112,11 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-10 1 1 112,12 112,12 112,12 112,12 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-11 1 1 112,04 112,04 112,04 112,04 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-14 1 1 112,77 112,77 112,77 112,77 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-15 1 1 112,57 112,57 112,57 112,57 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-16 1 1 112,05 112,05 112,05 112,05 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-17 1 1 113,03 113,03 113,03 113,03 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-18 1 1 112,4 112,4 112,4 112,4 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-21 1 1 112,14 112,14 112,14 112,14 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-22 1 1 110,9 110,9 110,9 110,9 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-23 1 1 110,46 110,46 110,46 110,46 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-24 1 1 110,16 110,16 110,16 110,16 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-25 1 1 111,21 111,21 111,21 111,21 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-02-28 1 1 111,42 111,42 111,42 111,42 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-01 1 1 111,71 111,71 111,71 111,71 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-02 1 1 111,75 111,75 111,75 111,75 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-03 1 1 112,43 112,43 112,43 112,43 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-04 1 1 112,88 112,88 112,88 112,88 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-07 1 1 112,91 112,91 112,91 112,91 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-08 1 1 112,77 112,77 112,77 112,77 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-09 1 1 111,94 111,94 111,94 111,94 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-10 1 1 111,13 111,13 111,13 111,13 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-11 1 1 111,17 111,17 111,17 111,17 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-14 1 1 111,22 111,22 111,22 111,22 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-15 1 1 112,03 112,03 112,03 112,03 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-16 1 1 110,7 110,7 110,7 110,7 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-17 1 1 110,66 110,66 110,66 110,66 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-18 1 1 111,25 111,25 111,25 111,25 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-21 1 1 111,55 111,55 111,55 111,55 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-22 1 1 110,88 110,88 110,88 110,88 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-23 1 1 110,36 110,36 110,36 110,36 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-24 1 1 111,18 111,18 111,18 111,18 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-29 1 1 111,47 111,47 111,47 111,47 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-30 1 1 111,59 111,59 111,59 111,59 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-03-31 1 1 112,32 112,32 112,32 112,32 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-01 1 1 112,43 112,43 112,43 112,43 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-04 1 1 111,72 111,72 111,72 111,72 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-05 1 1 112,1 112,1 112,1 112,1 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-06 1 1 112,31 112,31 112,31 112,31 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-07 1 1 112,58 112,58 112,58 112,58 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-08 1 1 113,49 113,49 113,49 113,49 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-11 1 1 113,24 113,24 113,24 113,24 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-12 1 1 112,52 112,52 112,52 112,52 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-13 1 1 112,68 112,68 112,68 112,68 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-14 1 1 112,74 112,74 112,74 112,74 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-15 1 1 111,01 111,01 111,01 111,01 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-18 1 1 108,73 108,73 108,73 108,73 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-19 1 1 108,97 108,97 108,97 108,97 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-20 1 1 109,09 109,09 109,09 109,09 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-21 1 1 109,22 109,22 109,22 109,22 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-22 1 1 109,45 109,45 109,45 109,45 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-25 1 1 109,66 109,66 109,66 109,66 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-26 1 1 108,97 108,97 108,97 108,97 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-27 1 1 107,66 107,66 107,66 107,66 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-28 1 1 107,14 107,14 107,14 107,14 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-04-29 1 1 108,16 108,16 108,16 108,16 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-02 1 1 109,06 109,06 109,06 109,06 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-03 1 1 109,24 109,24 109,24 109,24 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-04 1 1 109,08 109,08 109,08 109,08 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-06 1 1 110,79 110,79 110,79 110,79 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-09 1 1 110,35 110,35 110,35 110,35 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-10 1 1 110,09 110,09 110,09 110,09 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-11 1 1 110,13 110,13 110,13 110,13 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-12 1 1 110,95 110,95 110,95 110,95 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-13 1 1 110,54 110,54 110,54 110,54 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-16 1 1 110,86 110,86 110,86 110,86 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-17 1 1 110,6 110,6 110,6 110,6 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-18 1 1 112,1 112,1 112,1 112,1 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-19 1 1 113,1 113,1 113,1 113,1 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-20 1 1 113,27 113,27 113,27 113,27 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-23 1 1 113,54 113,54 113,54 113,54 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-24 1 1 113,2 113,2 113,2 113,2 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-25 1 1 113,62 113,62 113,62 113,62 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-26 1 1 114,53 114,53 114,53 114,53 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-27 1 1 114,44 114,44 114,44 114,44 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-30 1 1 114,6 114,6 114,6 114,6 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-05-31 1 1 114,58 114,58 114,58 114,58 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-01 1 1 114,05 114,05 114,05 114,05 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-02 1 1 115,68 115,68 115,68 115,68 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-03 1 1 115,67 115,67 115,67 115,67 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-07 1 1 115,35 115,35 115,35 115,35 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-08 1 1 113,78 113,78 113,78 113,78 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-09 1 1 113,62 113,62 113,62 113,62 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-10 1 1 115,02 115,02 115,02 115,02 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-13 1 1 115,18 115,18 115,18 115,18 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-14 1 1 115,54 115,54 115,54 115,54 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-15 1 1 115,79 115,79 115,79 115,79 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-16 1 1 115,34 115,34 115,34 115,34 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-17 1 1 115,96 115,96 115,96 115,96 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-20 1 1 115,09 115,09 115,09 115,09 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-21 1 1 115,86 115,86 115,86 115,86 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-22 1 1 116,8 116,8 116,8 116,8 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-23 1 1 117,83 117,83 117,83 117,83 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-27 1 1 116,09 116,09 116,09 116,09 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-28 1 1 117,08 117,08 117,08 117,08 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-29 1 1 118,8 118,8 118,8 118,8 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-06-30 1 1 119,27 119,27 119,27 119,27 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-01 1 1 119,93 119,93 119,93 119,93 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-04 1 1 120,53 120,53 120,53 120,53 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-05 1 1 119,5 119,5 119,5 119,5 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-06 1 1 119,84 119,84 119,84 119,84 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-07 1 1 118,35 118,35 118,35 118,35 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-08 1 1 119,9 119,9 119,9 119,9 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-11 1 1 121,94 121,94 121,94 121,94 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-12 1 1 121,57 121,57 121,57 121,57 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-13 1 1 121,2 121,2 121,2 121,2 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-14 1 1 122,67 122,67 122,67 122,67 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-15 1 1 122,77 122,77 122,77 122,77 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-18 1 1 122,35 122,35 122,35 122,35 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-19 1 1 123,53 123,53 123,53 123,53 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-20 1 1 123,87 123,87 123,87 123,87 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-21 1 1 125,29 125,29 125,29 125,29 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-22 1 1 124,64 124,64 124,64 124,64 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-25 1 1 124,47 124,47 124,47 124,47 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-26 1 1 125,45 125,45 125,45 125,45 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-27 1 1 125,71 125,71 125,71 125,71 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-28 1 1 125,43 125,43 125,43 125,43 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-07-29 1 1 125,65 125,65 125,65 125,65 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-01 1 1 125,14 125,14 125,14 125,14 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-02 1 1 125,02 125,02 125,02 125,02 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-03 1 1 125,11 125,11 125,11 125,11 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-04 1 1 124,29 124,29 124,29 124,29 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-05 1 1 123,71 123,71 123,71 123,71 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-08 1 1 123,86 123,86 123,86 123,86 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-09 1 1 124,43 124,43 124,43 124,43 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-10 1 1 125,71 125,71 125,71 125,71 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-11 1 1 125,03 125,03 125,03 125,03 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-12 1 1 124,56 124,56 124,56 124,56 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-15 1 1 124,43 124,43 124,43 124,43 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-16 1 1 124,76 124,76 124,76 124,76 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-17 1 1 123,21 123,21 123,21 123,21 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-18 1 1 123,12 123,12 123,12 123,12 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-19 1 1 124,25 124,25 124,25 124,25 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-22 1 1 125,07 125,07 125,07 125,07 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-23 1 1 124,63 124,63 124,63 124,63 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-24 1 1 123,05 123,05 123,05 123,05 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-25 1 1 122,84 122,84 122,84 122,84 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-26 1 1 122,28 122,28 122,28 122,28 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-29 1 1 121,2 121,2 121,2 121,2 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-30 1 1 122,22 122,22 122,22 122,22 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-08-31 1 1 122,8 122,8 122,8 122,8 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-01 1 1 124,1 124,1 124,1 124,1 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-02 1 1 123,18 123,18 123,18 123,18 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-05 1 1 123,75 123,75 123,75 123,75 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-06 1 1 124,56 124,56 124,56 124,56 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-07 1 1 125,71 125,71 125,71 125,71 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-08 1 1 125,28 125,28 125,28 125,28 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-09 1 1 126,18 126,18 126,18 126,18 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-12 1 1 125,95 125,95 125,95 125,95 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-13 1 1 125,25 125,25 125,25 125,25 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-14 1 1 125,46 125,46 125,46 125,46 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-15 1 1 125,54 125,54 125,54 125,54 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-16 1 1 126,54 126,54 126,54 126,54 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-19 1 1 126,63 126,63 126,63 126,63 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-20 1 1 126,89 126,89 126,89 126,89 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-21 1 1 125,78 125,78 125,78 125,78 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-22 1 1 125,27 125,27 125,27 125,27 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-23 1 1 125,98 125,98 125,98 125,98 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-26 1 1 127,62 127,62 127,62 127,62 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-27 1 1 127,89 127,89 127,89 127,89 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-28 1 1 129,16 129,16 129,16 129,16 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-29 1 1 128,94 128,94 128,94 128,94 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-09-30 1 1 128,31 128,31 128,31 128,31 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-03 1 1 129,14 129,14 129,14 129,14 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-04 1 1 129,49 129,49 129,49 129,49 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-05 1 1 128,93 128,93 128,93 128,93 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-06 1 1 126,81 126,81 126,81 126,81 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-07 1 1 127,2 127,2 127,2 127,2 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-10 1 1 127,96 127,96 127,96 127,96 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-11 1 1 127,87 127,87 127,87 127,87 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-12 1 1 127,26 127,26 127,26 127,26 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-13 1 1 125,84 125,84 125,84 125,84 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-14 1 1 127,2 127,2 127,2 127,2 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-17 1 1 127,78 127,78 127,78 127,78 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-18 1 1 126,73 126,73 126,73 126,73 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-19 1 1 124,46 124,46 124,46 124,46 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-20 1 1 125,79 125,79 125,79 125,79 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-21 1 1 124,62 124,62 124,62 124,62 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-24 1 1 126,18 126,18 126,18 126,18 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-25 1 1 126,18 126,18 126,18 126,18 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-26 1 1 126,23 126,23 126,23 126,23 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-27 1 1 125,1 125,1 125,1 125,1 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-28 1 1 124,4 124,4 124,4 124,4 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-10-31 1 1 126,55 126,55 126,55 126,55 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-01 1 1 127,67 127,67 127,67 127,67 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-02 1 1 127,23 127,23 127,23 127,23 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-03 1 1 129,35 129,35 129,35 129,35 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-04 1 1 129,2 129,2 129,2 129,2 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-07 1 1 129,68 129,68 129,68 129,68 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-08 1 1 128,45 128,45 128,45 128,45 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-09 1 1 128,45 128,45 128,45 128,45 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-10 1 1 129,7 129,7 129,7 129,7 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-11 1 1 129,9 129,9 129,9 129,9 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-14 1 1 130,64 130,64 130,64 130,64 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-15 1 1 130,83 130,83 130,83 130,83 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-16 1 1 129,97 129,97 129,97 129,97 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-17 1 1 130,93 130,93 130,93 130,93 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-18 1 1 131,58 131,58 131,58 131,58 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-21 1 1 131,31 131,31 131,31 131,31 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-22 1 1 131,55 131,55 131,55 131,55 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-23 1 1 131,93 131,93 131,93 131,93 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-24 1 1 131,66 131,66 131,66 131,66 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-25 1 1 131,52 131,52 131,52 131,52 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-28 1 1 132,21 132,21 132,21 132,21 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-29 1 1 132,09 132,09 132,09 132,09 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-11-30 1 1 131,77 131,77 131,77 131,77 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-01 1 1 133,04 133,04 133,04 133,04 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-02 1 1 132,66 132,66 132,66 132,66 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-05 1 1 132,92 132,92 132,92 132,92 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-06 1 1 132,95 132,95 132,95 132,95 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-07 1 1 133,05 133,05 133,05 133,05 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-08 1 1 132,28 132,28 132,28 132,28 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-12 1 1 133,37 133,37 133,37 133,37 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-13 1 1 133,48 133,48 133,48 133,48 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-14 1 1 133,25 133,25 133,25 133,25 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-15 1 1 132,95 132,95 132,95 132,95 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-16 1 1 134,75 134,75 134,75 134,75 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-19 1 1 133,96 133,96 133,96 133,96 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-20 1 1 133,51 133,51 133,51 133,51 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-21 1 1 135,24 135,24 135,24 135,24 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-22 1 1 135,8 135,8 135,8 135,8 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-23 1 1 136,61 136,61 136,61 136,61 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-27 1 1 137,07 137,07 137,07 137,07 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-28 1 1 136,61 136,61 136,61 136,61 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-29 1 1 136,34 136,34 136,34 136,34 538462 AMF Pension Fondförvaltning AB AMF Pensions Europafond - Euro SEK 2005-12-30 1 1 134,94 134,94 134,94 134,94 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-03 1 1 101,35 101,35 101,35 101,35 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-04 1 1 101,36 101,36 101,36 101,36 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-05 1 1 101,37 101,37 101,37 101,37 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-07 1 1 101,38 101,38 101,38 101,38 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-10 1 1 101,39 101,39 101,39 101,39 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-11 1 1 101,4 101,4 101,4 101,4 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-12 1 1 101,4 101,4 101,4 101,4 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-13 1 1 101,41 101,41 101,41 101,41 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-14 1 1 101,42 101,42 101,42 101,42 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-17 1 1 101,43 101,43 101,43 101,43 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-18 1 1 101,44 101,44 101,44 101,44 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-19 1 1 101,44 101,44 101,44 101,44 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-20 1 1 101,46 101,46 101,46 101,46 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-21 1 1 101,46 101,46 101,46 101,46 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-24 1 1 101,49 101,49 101,49 101,49 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-25 1 1 101,49 101,49 101,49 101,49 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-26 1 1 101,47 101,47 101,47 101,47 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-27 1 1 101,48 101,48 101,48 101,48 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-28 1 1 101,48 101,48 101,48 101,48 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-01-31 1 1 101,5 101,5 101,5 101,5 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-01 1 1 101,5 101,5 101,5 101,5 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-02 1 1 101,51 101,51 101,51 101,51 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-03 1 1 101,52 101,52 101,52 101,52 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-04 1 1 101,52 101,52 101,52 101,52 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-07 1 1 101,52 101,52 101,52 101,52 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-08 1 1 101,53 101,53 101,53 101,53 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-09 1 1 101,53 101,53 101,53 101,53 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-10 1 1 101,54 101,54 101,54 101,54 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-11 1 1 101,57 101,57 101,57 101,57 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-14 1 1 101,58 101,58 101,58 101,58 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-15 1 1 101,59 101,59 101,59 101,59 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-16 1 1 101,59 101,59 101,59 101,59 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-17 1 1 101,6 101,6 101,6 101,6 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-18 1 1 101,6 101,6 101,6 101,6 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-21 1 1 101,62 101,62 101,62 101,62 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-22 1 1 101,62 101,62 101,62 101,62 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-23 1 1 101,62 101,62 101,62 101,62 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-24 1 1 101,62 101,62 101,62 101,62 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-25 1 1 101,63 101,63 101,63 101,63 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-02-28 1 1 101,66 101,66 101,66 101,66 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-01 1 1 101,66 101,66 101,66 101,66 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-02 1 1 101,66 101,66 101,66 101,66 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-03 1 1 101,67 101,67 101,67 101,67 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-04 1 1 101,68 101,68 101,68 101,68 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-07 1 1 101,71 101,71 101,71 101,71 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-08 1 1 101,72 101,72 101,72 101,72 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-09 1 1 101,72 101,72 101,72 101,72 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-10 1 1 101,73 101,73 101,73 101,73 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-11 1 1 101,72 101,72 101,72 101,72 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-14 1 1 101,74 101,74 101,74 101,74 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-15 1 1 101,75 101,75 101,75 101,75 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-16 1 1 101,74 101,74 101,74 101,74 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-17 1 1 101,75 101,75 101,75 101,75 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-18 1 1 101,74 101,74 101,74 101,74 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-21 1 1 101,75 101,75 101,75 101,75 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-22 1 1 101,75 101,75 101,75 101,75 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-23 1 1 101,76 101,76 101,76 101,76 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-24 1 1 101,77 101,77 101,77 101,77 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-29 1 1 101,8 101,8 101,8 101,8 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-30 1 1 101,81 101,81 101,81 101,81 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-03-31 1 1 101,82 101,82 101,82 101,82 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-01 1 1 101,84 101,84 101,84 101,84 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-04 1 1 101,87 101,87 101,87 101,87 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-05 1 1 101,87 101,87 101,87 101,87 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-06 1 1 101,88 101,88 101,88 101,88 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-07 1 1 101,87 101,87 101,87 101,87 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-08 1 1 101,88 101,88 101,88 101,88 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-11 1 1 101,91 101,91 101,91 101,91 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-12 1 1 101,91 101,91 101,91 101,91 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-13 1 1 101,92 101,92 101,92 101,92 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-14 1 1 101,94 101,94 101,94 101,94 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-15 1 1 101,95 101,95 101,95 101,95 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-18 1 1 101,97 101,97 101,97 101,97 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-19 1 1 101,98 101,98 101,98 101,98 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-20 1 1 101,97 101,97 101,97 101,97 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-21 1 1 101,98 101,98 101,98 101,98 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-22 1 1 101,99 101,99 101,99 101,99 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-25 1 1 102,02 102,02 102,02 102,02 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-26 1 1 102,03 102,03 102,03 102,03 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-27 1 1 102,04 102,04 102,04 102,04 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-28 1 1 102,07 102,07 102,07 102,07 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-04-29 1 1 102,08 102,08 102,08 102,08 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-02 1 1 102,12 102,12 102,12 102,12 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-03 1 1 102,13 102,13 102,13 102,13 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-04 1 1 102,13 102,13 102,13 102,13 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-06 1 1 102,13 102,13 102,13 102,13 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-09 1 1 102,16 102,16 102,16 102,16 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-10 1 1 102,2 102,2 102,2 102,2 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-11 1 1 102,19 102,19 102,19 102,19 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-12 1 1 102,18 102,18 102,18 102,18 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-13 1 1 102,21 102,21 102,21 102,21 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-16 1 1 102,24 102,24 102,24 102,24 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-17 1 1 102,24 102,24 102,24 102,24 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-18 1 1 102,27 102,27 102,27 102,27 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-19 1 1 102,29 102,29 102,29 102,29 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-20 1 1 102,26 102,26 102,26 102,26 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-23 1 1 102,29 102,29 102,29 102,29 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-24 1 1 102,3 102,3 102,3 102,3 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-25 1 1 102,31 102,31 102,31 102,31 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-26 1 1 102,31 102,31 102,31 102,31 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-27 1 1 102,31 102,31 102,31 102,31 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-30 1 1 102,32 102,32 102,32 102,32 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-05-31 1 1 102,35 102,35 102,35 102,35 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-01 1 1 102,35 102,35 102,35 102,35 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-02 1 1 102,37 102,37 102,37 102,37 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-03 1 1 102,36 102,36 102,36 102,36 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-07 1 1 102,44 102,44 102,44 102,44 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-08 1 1 101,51 101,51 101,51 101,51 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-09 1 1 101,52 101,52 101,52 101,52 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-10 1 1 101,53 101,53 101,53 101,53 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-13 1 1 101,54 101,54 101,54 101,54 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-14 1 1 101,54 101,54 101,54 101,54 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-15 1 1 101,55 101,55 101,55 101,55 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-16 1 1 101,56 101,56 101,56 101,56 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-17 1 1 101,58 101,58 101,58 101,58 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-20 1 1 101,61 101,61 101,61 101,61 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-21 1 1 101,67 101,67 101,67 101,67 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-22 1 1 101,71 101,71 101,71 101,71 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-23 1 1 101,7 101,7 101,7 101,7 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-27 1 1 101,7 101,7 101,7 101,7 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-28 1 1 101,73 101,73 101,73 101,73 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-29 1 1 101,73 101,73 101,73 101,73 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-06-30 1 1 101,73 101,73 101,73 101,73 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-01 1 1 101,73 101,73 101,73 101,73 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-04 1 1 101,73 101,73 101,73 101,73 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-05 1 1 101,73 101,73 101,73 101,73 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-06 1 1 101,74 101,74 101,74 101,74 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-07 1 1 101,76 101,76 101,76 101,76 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-08 1 1 101,77 101,77 101,77 101,77 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-11 1 1 101,77 101,77 101,77 101,77 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-12 1 1 101,77 101,77 101,77 101,77 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-13 1 1 101,77 101,77 101,77 101,77 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-14 1 1 101,78 101,78 101,78 101,78 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-15 1 1 101,77 101,77 101,77 101,77 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-18 1 1 101,8 101,8 101,8 101,8 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-19 1 1 101,78 101,78 101,78 101,78 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-20 1 1 101,8 101,8 101,8 101,8 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-21 1 1 101,81 101,81 101,81 101,81 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-22 1 1 101,81 101,81 101,81 101,81 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-25 1 1 101,84 101,84 101,84 101,84 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-26 1 1 101,84 101,84 101,84 101,84 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-27 1 1 101,84 101,84 101,84 101,84 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-28 1 1 101,83 101,83 101,83 101,83 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-07-29 1 1 101,82 101,82 101,82 101,82 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-01 1 1 101,82 101,82 101,82 101,82 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-02 1 1 101,81 101,81 101,81 101,81 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-03 1 1 101,81 101,81 101,81 101,81 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-04 1 1 101,81 101,81 101,81 101,81 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-05 1 1 101,8 101,8 101,8 101,8 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-08 1 1 101,82 101,82 101,82 101,82 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-09 1 1 101,83 101,83 101,83 101,83 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-10 1 1 101,84 101,84 101,84 101,84 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-11 1 1 101,82 101,82 101,82 101,82 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-12 1 1 101,83 101,83 101,83 101,83 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-15 1 1 101,85 101,85 101,85 101,85 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-16 1 1 101,85 101,85 101,85 101,85 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-17 1 1 101,85 101,85 101,85 101,85 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-18 1 1 101,85 101,85 101,85 101,85 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-19 1 1 101,85 101,85 101,85 101,85 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-22 1 1 101,87 101,87 101,87 101,87 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-23 1 1 101,88 101,88 101,88 101,88 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-24 1 1 101,89 101,89 101,89 101,89 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-25 1 1 101,88 101,88 101,88 101,88 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-26 1 1 101,88 101,88 101,88 101,88 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-29 1 1 101,89 101,89 101,89 101,89 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-30 1 1 101,9 101,9 101,9 101,9 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-08-31 1 1 101,89 101,89 101,89 101,89 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-01 1 1 101,91 101,91 101,91 101,91 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-02 1 1 101,93 101,93 101,93 101,93 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-05 1 1 101,95 101,95 101,95 101,95 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-06 1 1 101,99 101,99 101,99 101,99 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-07 1 1 101,99 101,99 101,99 101,99 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-08 1 1 102 102 102 102 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-09 1 1 102 102 102 102 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-12 1 1 102,01 102,01 102,01 102,01 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-13 1 1 102,01 102,01 102,01 102,01 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-14 1 1 102,01 102,01 102,01 102,01 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-15 1 1 102,02 102,02 102,02 102,02 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-16 1 1 102,02 102,02 102,02 102,02 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-19 1 1 102,04 102,04 102,04 102,04 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-20 1 1 102,05 102,05 102,05 102,05 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-21 1 1 102,05 102,05 102,05 102,05 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-22 1 1 102,06 102,06 102,06 102,06 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-23 1 1 102,06 102,06 102,06 102,06 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-26 1 1 102,07 102,07 102,07 102,07 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-27 1 1 102,08 102,08 102,08 102,08 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-28 1 1 102,08 102,08 102,08 102,08 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-29 1 1 102,08 102,08 102,08 102,08 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-09-30 1 1 102,08 102,08 102,08 102,08 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-03 1 1 102,09 102,09 102,09 102,09 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-04 1 1 102,1 102,1 102,1 102,1 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-05 1 1 102,1 102,1 102,1 102,1 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-06 1 1 102,1 102,1 102,1 102,1 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-07 1 1 102,11 102,11 102,11 102,11 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-10 1 1 102,12 102,12 102,12 102,12 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-11 1 1 102,13 102,13 102,13 102,13 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-12 1 1 102,13 102,13 102,13 102,13 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-13 1 1 102,14 102,14 102,14 102,14 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-14 1 1 102,15 102,15 102,15 102,15 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-17 1 1 102,16 102,16 102,16 102,16 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-18 1 1 102,16 102,16 102,16 102,16 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-19 1 1 102,17 102,17 102,17 102,17 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-20 1 1 102,18 102,18 102,18 102,18 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-21 1 1 102,18 102,18 102,18 102,18 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-24 1 1 102,2 102,2 102,2 102,2 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-25 1 1 102,2 102,2 102,2 102,2 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-26 1 1 102,2 102,2 102,2 102,2 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-27 1 1 102,21 102,21 102,21 102,21 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-28 1 1 102,21 102,21 102,21 102,21 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-10-31 1 1 102,22 102,22 102,22 102,22 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-01 1 1 102,23 102,23 102,23 102,23 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-02 1 1 102,23 102,23 102,23 102,23 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-03 1 1 102,24 102,24 102,24 102,24 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-04 1 1 102,24 102,24 102,24 102,24 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-07 1 1 102,25 102,25 102,25 102,25 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-08 1 1 102,25 102,25 102,25 102,25 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-09 1 1 102,25 102,25 102,25 102,25 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-10 1 1 102,26 102,26 102,26 102,26 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-11 1 1 102,27 102,27 102,27 102,27 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-14 1 1 102,28 102,28 102,28 102,28 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-15 1 1 102,28 102,28 102,28 102,28 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-16 1 1 102,29 102,29 102,29 102,29 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-17 1 1 102,29 102,29 102,29 102,29 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-18 1 1 102,3 102,3 102,3 102,3 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-21 1 1 102,31 102,31 102,31 102,31 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-22 1 1 102,31 102,31 102,31 102,31 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-23 1 1 102,32 102,32 102,32 102,32 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-24 1 1 102,33 102,33 102,33 102,33 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-25 1 1 102,33 102,33 102,33 102,33 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-28 1 1 102,34 102,34 102,34 102,34 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-29 1 1 102,34 102,34 102,34 102,34 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-11-30 1 1 102,35 102,35 102,35 102,35 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-01 1 1 102,36 102,36 102,36 102,36 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-02 1 1 102,36 102,36 102,36 102,36 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-05 1 1 102,37 102,37 102,37 102,37 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-06 1 1 102,37 102,37 102,37 102,37 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-07 1 1 102,38 102,38 102,38 102,38 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-08 1 1 102,39 102,39 102,39 102,39 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-12 1 1 102,4 102,4 102,4 102,4 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-13 1 1 102,4 102,4 102,4 102,4 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-14 1 1 102,41 102,41 102,41 102,41 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-15 1 1 102,42 102,42 102,42 102,42 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-16 1 1 102,42 102,42 102,42 102,42 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-19 1 1 102,43 102,43 102,43 102,43 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-20 1 1 102,44 102,44 102,44 102,44 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-21 1 1 102,44 102,44 102,44 102,44 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-22 1 1 102,45 102,45 102,45 102,45 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-23 1 1 102,46 102,46 102,46 102,46 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-27 1 1 102,47 102,47 102,47 102,47 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-28 1 1 102,47 102,47 102,47 102,47 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-29 1 1 102,48 102,48 102,48 102,48 305185 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Likviditet SEK 2005-12-30 1 1 102,48 102,48 102,48 102,48 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-03 1 1 118,05 118,05 118,05 118,05 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-04 1 1 118,23 118,23 118,23 118,23 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-05 1 1 117,94 117,94 117,94 117,94 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-07 1 1 118,36 118,36 118,36 118,36 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-10 1 1 118,53 118,53 118,53 118,53 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-11 1 1 118,51 118,51 118,51 118,51 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-12 1 1 118,47 118,47 118,47 118,47 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-13 1 1 118,66 118,66 118,66 118,66 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-14 1 1 118,76 118,76 118,76 118,76 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-17 1 1 118,96 118,96 118,96 118,96 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-18 1 1 118,89 118,89 118,89 118,89 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-19 1 1 119,11 119,11 119,11 119,11 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-20 1 1 118,78 118,78 118,78 118,78 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-21 1 1 118,93 118,93 118,93 118,93 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-24 1 1 119,25 119,25 119,25 119,25 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-25 1 1 119,35 119,35 119,35 119,35 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-26 1 1 119,08 119,08 119,08 119,08 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-27 1 1 118,91 118,91 118,91 118,91 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-28 1 1 119,18 119,18 119,18 119,18 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-01-31 1 1 119,34 119,34 119,34 119,34 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-01 1 1 119,38 119,38 119,38 119,38 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-02 1 1 119,49 119,49 119,49 119,49 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-03 1 1 119,29 119,29 119,29 119,29 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-04 1 1 119,59 119,59 119,59 119,59 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-07 1 1 119,73 119,73 119,73 119,73 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-08 1 1 119,74 119,74 119,74 119,74 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-09 1 1 119,9 119,9 119,9 119,9 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-10 1 1 120,02 120,02 120,02 120,02 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-11 1 1 120,08 120,08 120,08 120,08 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-14 1 1 119,9 119,9 119,9 119,9 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-15 1 1 119,88 119,88 119,88 119,88 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-16 1 1 119,99 119,99 119,99 119,99 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-17 1 1 119,67 119,67 119,67 119,67 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-18 1 1 119,37 119,37 119,37 119,37 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-21 1 1 119,18 119,18 119,18 119,18 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-22 1 1 119 119 119 119 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-23 1 1 119,23 119,23 119,23 119,23 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-24 1 1 119,03 119,03 119,03 119,03 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-25 1 1 118,97 118,97 118,97 118,97 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-02-28 1 1 119,12 119,12 119,12 119,12 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-01 1 1 119,01 119,01 119,01 119,01 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-02 1 1 118,81 118,81 118,81 118,81 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-03 1 1 118,93 118,93 118,93 118,93 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-04 1 1 119,13 119,13 119,13 119,13 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-07 1 1 119,3 119,3 119,3 119,3 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-08 1 1 119,54 119,54 119,54 119,54 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-09 1 1 119,28 119,28 119,28 119,28 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-10 1 1 119,22 119,22 119,22 119,22 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-11 1 1 119,1 119,1 119,1 119,1 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-14 1 1 119,15 119,15 119,15 119,15 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-15 1 1 119,3 119,3 119,3 119,3 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-16 1 1 119,18 119,18 119,18 119,18 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-17 1 1 119,2 119,2 119,2 119,2 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-18 1 1 119,15 119,15 119,15 119,15 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-21 1 1 119,11 119,11 119,11 119,11 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-22 1 1 119,21 119,21 119,21 119,21 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-23 1 1 119,19 119,19 119,19 119,19 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-24 1 1 119,31 119,31 119,31 119,31 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-29 1 1 119,41 119,41 119,41 119,41 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-30 1 1 119,59 119,59 119,59 119,59 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-03-31 1 1 119,71 119,71 119,71 119,71 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-01 1 1 119,9 119,9 119,9 119,9 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-04 1 1 120,06 120,06 120,06 120,06 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-05 1 1 120,13 120,13 120,13 120,13 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-06 1 1 120,16 120,16 120,16 120,16 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-07 1 1 120,11 120,11 120,11 120,11 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-08 1 1 120,1 120,1 120,1 120,1 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-11 1 1 120,25 120,25 120,25 120,25 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-12 1 1 120,31 120,31 120,31 120,31 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-13 1 1 120,64 120,64 120,64 120,64 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-14 1 1 120,69 120,69 120,69 120,69 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-15 1 1 120,98 120,98 120,98 120,98 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-18 1 1 121,03 121,03 121,03 121,03 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-19 1 1 121,04 121,04 121,04 121,04 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-20 1 1 120,99 120,99 120,99 120,99 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-21 1 1 121,15 121,15 121,15 121,15 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-22 1 1 121,43 121,43 121,43 121,43 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-25 1 1 121,69 121,69 121,69 121,69 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-26 1 1 121,92 121,92 121,92 121,92 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-27 1 1 121,9 121,9 121,9 121,9 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-28 1 1 122,2 122,2 122,2 122,2 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-04-29 1 1 122,08 122,08 122,08 122,08 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-02 1 1 122,46 122,46 122,46 122,46 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-03 1 1 122,39 122,39 122,39 122,39 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-04 1 1 121,99 121,99 121,99 121,99 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-06 1 1 121,55 121,55 121,55 121,55 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-09 1 1 121,76 121,76 121,76 121,76 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-10 1 1 122,24 122,24 122,24 122,24 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-11 1 1 122,44 122,44 122,44 122,44 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-12 1 1 122,4 122,4 122,4 122,4 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-13 1 1 122,66 122,66 122,66 122,66 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-16 1 1 122,77 122,77 122,77 122,77 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-17 1 1 122,7 122,7 122,7 122,7 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-18 1 1 123,05 123,05 123,05 123,05 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-19 1 1 123,07 123,07 123,07 123,07 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-20 1 1 122,74 122,74 122,74 122,74 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-23 1 1 122,71 122,71 122,71 122,71 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-24 1 1 123,04 123,04 123,04 123,04 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-25 1 1 123,27 123,27 123,27 123,27 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-26 1 1 122,97 122,97 122,97 122,97 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-27 1 1 123,02 123,02 123,02 123,02 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-30 1 1 122,86 122,86 122,86 122,86 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-05-31 1 1 123,26 123,26 123,26 123,26 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-01 1 1 123,35 123,35 123,35 123,35 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-02 1 1 123,71 123,71 123,71 123,71 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-03 1 1 124,19 124,19 124,19 124,19 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-07 1 1 124,33 124,33 124,33 124,33 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-08 1 1 120,62 120,62 120,62 120,62 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-09 1 1 120,59 120,59 120,59 120,59 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-10 1 1 120,75 120,75 120,75 120,75 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-13 1 1 120,46 120,46 120,46 120,46 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-14 1 1 120,41 120,41 120,41 120,41 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-15 1 1 120,29 120,29 120,29 120,29 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-16 1 1 119,72 119,72 119,72 119,72 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-17 1 1 119,92 119,92 119,92 119,92 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-20 1 1 120,07 120,07 120,07 120,07 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-21 1 1 120,62 120,62 120,62 120,62 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-22 1 1 121,16 121,16 121,16 121,16 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-23 1 1 121,05 121,05 121,05 121,05 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-27 1 1 121,27 121,27 121,27 121,27 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-28 1 1 121,13 121,13 121,13 121,13 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-29 1 1 121,23 121,23 121,23 121,23 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-06-30 1 1 121,25 121,25 121,25 121,25 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-01 1 1 121,38 121,38 121,38 121,38 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-04 1 1 121,13 121,13 121,13 121,13 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-05 1 1 120,88 120,88 120,88 120,88 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-06 1 1 120,93 120,93 120,93 120,93 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-07 1 1 121,15 121,15 121,15 121,15 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-08 1 1 121,21 121,21 121,21 121,21 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-11 1 1 121 121 121 121 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-12 1 1 120,83 120,83 120,83 120,83 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-13 1 1 120,73 120,73 120,73 120,73 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-14 1 1 120,74 120,74 120,74 120,74 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-15 1 1 120,57 120,57 120,57 120,57 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-18 1 1 120,72 120,72 120,72 120,72 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-19 1 1 120,57 120,57 120,57 120,57 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-20 1 1 120,66 120,66 120,66 120,66 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-21 1 1 120,76 120,76 120,76 120,76 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-22 1 1 120,9 120,9 120,9 120,9 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-25 1 1 121,11 121,11 121,11 121,11 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-26 1 1 121,04 121,04 121,04 121,04 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-27 1 1 121,18 121,18 121,18 121,18 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-28 1 1 121 121 121 121 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-07-29 1 1 120,98 120,98 120,98 120,98 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-01 1 1 120,55 120,55 120,55 120,55 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-02 1 1 120,21 120,21 120,21 120,21 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-03 1 1 120,19 120,19 120,19 120,19 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-04 1 1 120,3 120,3 120,3 120,3 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-05 1 1 120,06 120,06 120,06 120,06 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-08 1 1 120 120 120 120 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-09 1 1 120,03 120,03 120,03 120,03 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-10 1 1 120,21 120,21 120,21 120,21 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-11 1 1 120,28 120,28 120,28 120,28 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-12 1 1 120,31 120,31 120,31 120,31 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-15 1 1 120,45 120,45 120,45 120,45 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-16 1 1 120,43 120,43 120,43 120,43 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-17 1 1 120,52 120,52 120,52 120,52 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-18 1 1 120,58 120,58 120,58 120,58 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-19 1 1 120,51 120,51 120,51 120,51 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-22 1 1 120,82 120,82 120,82 120,82 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-23 1 1 120,92 120,92 120,92 120,92 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-24 1 1 120,99 120,99 120,99 120,99 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-25 1 1 121,08 121,08 121,08 121,08 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-26 1 1 121,15 121,15 121,15 121,15 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-29 1 1 121,05 121,05 121,05 121,05 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-30 1 1 121,12 121,12 121,12 121,12 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-08-31 1 1 121,27 121,27 121,27 121,27 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-01 1 1 121,62 121,62 121,62 121,62 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-02 1 1 121,6 121,6 121,6 121,6 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-05 1 1 121,76 121,76 121,76 121,76 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-06 1 1 121,61 121,61 121,61 121,61 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-07 1 1 121,54 121,54 121,54 121,54 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-08 1 1 121,78 121,78 121,78 121,78 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-09 1 1 121,96 121,96 121,96 121,96 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-12 1 1 121,61 121,61 121,61 121,61 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-13 1 1 121,59 121,59 121,59 121,59 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-14 1 1 121,65 121,65 121,65 121,65 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-15 1 1 121,45 121,45 121,45 121,45 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-16 1 1 121,35 121,35 121,35 121,35 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-19 1 1 121,37 121,37 121,37 121,37 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-20 1 1 121,51 121,51 121,51 121,51 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-21 1 1 121,78 121,78 121,78 121,78 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-22 1 1 121,81 121,81 121,81 121,81 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-23 1 1 121,57 121,57 121,57 121,57 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-26 1 1 121,34 121,34 121,34 121,34 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-27 1 1 121,34 121,34 121,34 121,34 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-28 1 1 121,24 121,24 121,24 121,24 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-29 1 1 121,07 121,07 121,07 121,07 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-09-30 1 1 121,09 121,09 121,09 121,09 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-03 1 1 120,9 120,9 120,9 120,9 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-04 1 1 120,8 120,8 120,8 120,8 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-05 1 1 120,91 120,91 120,91 120,91 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-06 1 1 120,81 120,81 120,81 120,81 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-07 1 1 120,74 120,74 120,74 120,74 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-10 1 1 120,78 120,78 120,78 120,78 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-11 1 1 120,82 120,82 120,82 120,82 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-12 1 1 120,63 120,63 120,63 120,63 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-13 1 1 120,59 120,59 120,59 120,59 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-14 1 1 120,69 120,69 120,69 120,69 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-17 1 1 120,62 120,62 120,62 120,62 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-18 1 1 120,58 120,58 120,58 120,58 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-19 1 1 120,76 120,76 120,76 120,76 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-20 1 1 120,64 120,64 120,64 120,64 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-21 1 1 120,79 120,79 120,79 120,79 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-24 1 1 120,89 120,89 120,89 120,89 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-25 1 1 120,68 120,68 120,68 120,68 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-26 1 1 120,36 120,36 120,36 120,36 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-27 1 1 120,41 120,41 120,41 120,41 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-28 1 1 120,29 120,29 120,29 120,29 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-10-31 1 1 120,23 120,23 120,23 120,23 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-01 1 1 120,29 120,29 120,29 120,29 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-02 1 1 120,01 120,01 120,01 120,01 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-03 1 1 120,08 120,08 120,08 120,08 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-04 1 1 119,73 119,73 119,73 119,73 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-07 1 1 119,67 119,67 119,67 119,67 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-08 1 1 119,6 119,6 119,6 119,6 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-09 1 1 119,71 119,71 119,71 119,71 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-10 1 1 119,62 119,62 119,62 119,62 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-11 1 1 119,69 119,69 119,69 119,69 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-14 1 1 119,85 119,85 119,85 119,85 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-15 1 1 119,68 119,68 119,68 119,68 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-16 1 1 119,92 119,92 119,92 119,92 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-17 1 1 119,85 119,85 119,85 119,85 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-18 1 1 119,74 119,74 119,74 119,74 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-21 1 1 119,76 119,76 119,76 119,76 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-22 1 1 119,84 119,84 119,84 119,84 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-23 1 1 119,93 119,93 119,93 119,93 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-24 1 1 120,15 120,15 120,15 120,15 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-25 1 1 120,17 120,17 120,17 120,17 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-28 1 1 120,11 120,11 120,11 120,11 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-29 1 1 120,2 120,2 120,2 120,2 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-11-30 1 1 120,06 120,06 120,06 120,06 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-01 1 1 120,23 120,23 120,23 120,23 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-02 1 1 119,82 119,82 119,82 119,82 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-05 1 1 119,66 119,66 119,66 119,66 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-06 1 1 119,66 119,66 119,66 119,66 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-07 1 1 119,68 119,68 119,68 119,68 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-08 1 1 119,74 119,74 119,74 119,74 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-12 1 1 119,65 119,65 119,65 119,65 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-13 1 1 119,73 119,73 119,73 119,73 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-14 1 1 119,93 119,93 119,93 119,93 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-15 1 1 119,94 119,94 119,94 119,94 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-16 1 1 120,07 120,07 120,07 120,07 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-19 1 1 120,16 120,16 120,16 120,16 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-20 1 1 120,15 120,15 120,15 120,15 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-21 1 1 119,99 119,99 119,99 119,99 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-22 1 1 119,85 119,85 119,85 119,85 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-23 1 1 119,94 119,94 119,94 119,94 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-27 1 1 120,13 120,13 120,13 120,13 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-28 1 1 120,15 120,15 120,15 120,15 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-29 1 1 120,09 120,09 120,09 120,09 574293 AMF Pension Fondförvaltning AB AMF Pensions Räntefond - Sverige SEK 2005-12-30 1 1 120,2 120,2 120,2 120,2 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-03 1 1 107,64 107,64 107,64 107,64 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-04 1 1 107,65 107,65 107,65 107,65 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-05 1 1 107,65 107,65 107,65 107,65 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-07 1 1 107,66 107,66 107,66 107,66 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-10 1 1 107,68 107,68 107,68 107,68 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-11 1 1 107,68 107,68 107,68 107,68 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-12 1 1 107,68 107,68 107,68 107,68 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-13 1 1 107,69 107,69 107,69 107,69 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-14 1 1 107,7 107,7 107,7 107,7 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-17 1 1 107,72 107,72 107,72 107,72 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-18 1 1 107,72 107,72 107,72 107,72 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-19 1 1 107,72 107,72 107,72 107,72 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-20 1 1 107,73 107,73 107,73 107,73 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-21 1 1 107,75 107,75 107,75 107,75 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-24 1 1 107,77 107,77 107,77 107,77 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-25 1 1 107,78 107,78 107,78 107,78 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-26 1 1 107,79 107,79 107,79 107,79 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-27 1 1 107,79 107,79 107,79 107,79 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-28 1 1 107,8 107,8 107,8 107,8 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-01-31 1 1 107,81 107,81 107,81 107,81 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-01 1 1 107,82 107,82 107,82 107,82 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-02 1 1 107,82 107,82 107,82 107,82 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-03 1 1 107,83 107,83 107,83 107,83 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-04 1 1 107,83 107,83 107,83 107,83 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-07 1 1 107,85 107,85 107,85 107,85 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-08 1 1 107,85 107,85 107,85 107,85 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-09 1 1 107,85 107,85 107,85 107,85 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-10 1 1 107,85 107,85 107,85 107,85 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-11 1 1 107,86 107,86 107,86 107,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-14 1 1 105,76 105,76 105,76 105,76 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-15 1 1 105,77 105,77 105,77 105,77 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-16 1 1 105,78 105,78 105,78 105,78 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-17 1 1 105,79 105,79 105,79 105,79 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-18 1 1 105,79 105,79 105,79 105,79 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-21 1 1 105,8 105,8 105,8 105,8 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-22 1 1 105,81 105,81 105,81 105,81 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-23 1 1 105,81 105,81 105,81 105,81 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-24 1 1 105,82 105,82 105,82 105,82 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-25 1 1 105,82 105,82 105,82 105,82 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-02-28 1 1 105,83 105,83 105,83 105,83 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-01 1 1 105,85 105,85 105,85 105,85 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-02 1 1 105,85 105,85 105,85 105,85 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-03 1 1 105,86 105,86 105,86 105,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-04 1 1 105,86 105,86 105,86 105,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-07 1 1 105,87 105,87 105,87 105,87 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-08 1 1 105,88 105,88 105,88 105,88 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-09 1 1 105,88 105,88 105,88 105,88 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-10 1 1 105,89 105,89 105,89 105,89 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-11 1 1 105,91 105,91 105,91 105,91 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-14 1 1 105,92 105,92 105,92 105,92 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-15 1 1 105,92 105,92 105,92 105,92 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-16 1 1 105,93 105,93 105,93 105,93 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-17 1 1 105,93 105,93 105,93 105,93 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-18 1 1 105,94 105,94 105,94 105,94 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-21 1 1 105,94 105,94 105,94 105,94 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-22 1 1 105,95 105,95 105,95 105,95 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-23 1 1 105,96 105,96 105,96 105,96 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-24 1 1 105,97 105,97 105,97 105,97 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-29 1 1 105,99 105,99 105,99 105,99 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-30 1 1 105,99 105,99 105,99 105,99 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-03-31 1 1 105,99 105,99 105,99 105,99 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-01 1 1 106 106 106 106 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-04 1 1 106,01 106,01 106,01 106,01 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-05 1 1 106,02 106,02 106,02 106,02 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-06 1 1 106,02 106,02 106,02 106,02 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-07 1 1 106,03 106,03 106,03 106,03 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-08 1 1 106,03 106,03 106,03 106,03 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-11 1 1 106,05 106,05 106,05 106,05 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-12 1 1 106,05 106,05 106,05 106,05 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-13 1 1 106,06 106,06 106,06 106,06 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-14 1 1 106,06 106,06 106,06 106,06 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-15 1 1 106,07 106,07 106,07 106,07 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-18 1 1 106,09 106,09 106,09 106,09 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-19 1 1 106,1 106,1 106,1 106,1 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-20 1 1 106,11 106,11 106,11 106,11 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-21 1 1 106,11 106,11 106,11 106,11 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-22 1 1 106,12 106,12 106,12 106,12 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-25 1 1 106,13 106,13 106,13 106,13 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-26 1 1 106,13 106,13 106,13 106,13 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-27 1 1 106,14 106,14 106,14 106,14 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-28 1 1 106,16 106,16 106,16 106,16 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-04-29 1 1 106,17 106,17 106,17 106,17 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-02 1 1 106,19 106,19 106,19 106,19 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-03 1 1 106,19 106,19 106,19 106,19 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-04 1 1 106,19 106,19 106,19 106,19 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-06 1 1 106,2 106,2 106,2 106,2 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-09 1 1 106,22 106,22 106,22 106,22 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-10 1 1 106,24 106,24 106,24 106,24 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-11 1 1 106,25 106,25 106,25 106,25 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-12 1 1 106,25 106,25 106,25 106,25 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-13 1 1 106,27 106,27 106,27 106,27 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-16 1 1 106,28 106,28 106,28 106,28 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-17 1 1 106,28 106,28 106,28 106,28 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-18 1 1 106,29 106,29 106,29 106,29 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-19 1 1 106,29 106,29 106,29 106,29 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-20 1 1 106,31 106,31 106,31 106,31 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-23 1 1 106,33 106,33 106,33 106,33 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-24 1 1 106,33 106,33 106,33 106,33 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-25 1 1 106,34 106,34 106,34 106,34 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-26 1 1 106,35 106,35 106,35 106,35 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-27 1 1 106,35 106,35 106,35 106,35 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-30 1 1 106,36 106,36 106,36 106,36 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-05-31 1 1 106,38 106,38 106,38 106,38 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-01 1 1 106,38 106,38 106,38 106,38 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-02 1 1 106,39 106,39 106,39 106,39 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-03 1 1 106,42 106,42 106,42 106,42 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-07 1 1 106,44 106,44 106,44 106,44 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-08 1 1 106,48 106,48 106,48 106,48 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-09 1 1 106,49 106,49 106,49 106,49 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-10 1 1 106,5 106,5 106,5 106,5 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-13 1 1 106,51 106,51 106,51 106,51 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-14 1 1 106,51 106,51 106,51 106,51 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-15 1 1 106,52 106,52 106,52 106,52 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-16 1 1 106,52 106,52 106,52 106,52 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-17 1 1 106,53 106,53 106,53 106,53 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-20 1 1 106,54 106,54 106,54 106,54 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-21 1 1 106,6 106,6 106,6 106,6 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-22 1 1 106,62 106,62 106,62 106,62 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-23 1 1 106,64 106,64 106,64 106,64 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-27 1 1 106,66 106,66 106,66 106,66 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-28 1 1 106,66 106,66 106,66 106,66 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-29 1 1 106,67 106,67 106,67 106,67 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-06-30 1 1 106,68 106,68 106,68 106,68 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-01 1 1 106,68 106,68 106,68 106,68 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-04 1 1 106,68 106,68 106,68 106,68 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-05 1 1 106,68 106,68 106,68 106,68 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-06 1 1 106,68 106,68 106,68 106,68 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-07 1 1 106,69 106,69 106,69 106,69 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-08 1 1 106,69 106,69 106,69 106,69 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-11 1 1 106,7 106,7 106,7 106,7 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-12 1 1 106,7 106,7 106,7 106,7 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-13 1 1 106,7 106,7 106,7 106,7 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-14 1 1 106,7 106,7 106,7 106,7 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-15 1 1 106,7 106,7 106,7 106,7 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-18 1 1 106,71 106,71 106,71 106,71 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-19 1 1 106,72 106,72 106,72 106,72 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-20 1 1 106,72 106,72 106,72 106,72 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-21 1 1 106,74 106,74 106,74 106,74 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-22 1 1 106,74 106,74 106,74 106,74 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-25 1 1 106,75 106,75 106,75 106,75 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-26 1 1 106,76 106,76 106,76 106,76 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-27 1 1 106,76 106,76 106,76 106,76 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-28 1 1 106,76 106,76 106,76 106,76 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-07-29 1 1 106,76 106,76 106,76 106,76 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-01 1 1 106,76 106,76 106,76 106,76 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-02 1 1 106,76 106,76 106,76 106,76 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-03 1 1 106,76 106,76 106,76 106,76 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-04 1 1 106,76 106,76 106,76 106,76 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-05 1 1 106,76 106,76 106,76 106,76 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-08 1 1 106,77 106,77 106,77 106,77 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-09 1 1 106,77 106,77 106,77 106,77 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-10 1 1 106,77 106,77 106,77 106,77 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-11 1 1 106,78 106,78 106,78 106,78 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-12 1 1 106,78 106,78 106,78 106,78 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-15 1 1 106,8 106,8 106,8 106,8 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-16 1 1 106,8 106,8 106,8 106,8 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-17 1 1 106,81 106,81 106,81 106,81 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-18 1 1 106,81 106,81 106,81 106,81 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-19 1 1 106,81 106,81 106,81 106,81 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-22 1 1 106,82 106,82 106,82 106,82 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-23 1 1 106,82 106,82 106,82 106,82 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-24 1 1 106,82 106,82 106,82 106,82 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-25 1 1 106,82 106,82 106,82 106,82 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-26 1 1 106,82 106,82 106,82 106,82 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-29 1 1 106,81 106,81 106,81 106,81 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-30 1 1 106,81 106,81 106,81 106,81 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-08-31 1 1 106,81 106,81 106,81 106,81 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-01 1 1 106,81 106,81 106,81 106,81 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-02 1 1 106,84 106,84 106,84 106,84 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-05 1 1 106,85 106,85 106,85 106,85 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-06 1 1 106,85 106,85 106,85 106,85 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-07 1 1 106,86 106,86 106,86 106,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-08 1 1 106,86 106,86 106,86 106,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-09 1 1 106,86 106,86 106,86 106,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-12 1 1 106,86 106,86 106,86 106,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-13 1 1 106,86 106,86 106,86 106,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-14 1 1 106,86 106,86 106,86 106,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-15 1 1 106,86 106,86 106,86 106,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-16 1 1 106,86 106,86 106,86 106,86 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-19 1 1 106,87 106,87 106,87 106,87 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-20 1 1 106,88 106,88 106,88 106,88 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-21 1 1 106,89 106,89 106,89 106,89 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-22 1 1 106,9 106,9 106,9 106,9 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-23 1 1 106,9 106,9 106,9 106,9 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-26 1 1 106,9 106,9 106,9 106,9 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-27 1 1 106,9 106,9 106,9 106,9 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-28 1 1 106,9 106,9 106,9 106,9 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-29 1 1 106,89 106,89 106,89 106,89 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-09-30 1 1 106,89 106,89 106,89 106,89 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-03 1 1 106,89 106,89 106,89 106,89 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-04 1 1 106,9 106,9 106,9 106,9 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-05 1 1 106,9 106,9 106,9 106,9 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-06 1 1 106,91 106,91 106,91 106,91 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-07 1 1 106,91 106,91 106,91 106,91 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-10 1 1 106,91 106,91 106,91 106,91 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-11 1 1 106,91 106,91 106,91 106,91 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-12 1 1 106,91 106,91 106,91 106,91 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-13 1 1 106,93 106,93 106,93 106,93 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-14 1 1 106,93 106,93 106,93 106,93 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-17 1 1 106,94 106,94 106,94 106,94 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-18 1 1 106,94 106,94 106,94 106,94 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-19 1 1 106,94 106,94 106,94 106,94 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-20 1 1 106,96 106,96 106,96 106,96 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-21 1 1 106,96 106,96 106,96 106,96 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-24 1 1 106,98 106,98 106,98 106,98 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-25 1 1 106,97 106,97 106,97 106,97 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-26 1 1 106,97 106,97 106,97 106,97 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-27 1 1 106,97 106,97 106,97 106,97 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-28 1 1 106,97 106,97 106,97 106,97 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-10-31 1 1 106,98 106,98 106,98 106,98 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-01 1 1 106,98 106,98 106,98 106,98 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-02 1 1 106,98 106,98 106,98 106,98 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-03 1 1 106,98 106,98 106,98 106,98 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-04 1 1 106,98 106,98 106,98 106,98 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-07 1 1 106,97 106,97 106,97 106,97 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-08 1 1 106,97 106,97 106,97 106,97 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-09 1 1 106,97 106,97 106,97 106,97 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-10 1 1 106,97 106,97 106,97 106,97 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-11 1 1 106,98 106,98 106,98 106,98 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-14 1 1 107 107 107 107 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-15 1 1 107 107 107 107 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-16 1 1 107 107 107 107 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-17 1 1 107 107 107 107 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-18 1 1 107 107 107 107 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-21 1 1 107 107 107 107 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-22 1 1 107,01 107,01 107,01 107,01 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-23 1 1 107,02 107,02 107,02 107,02 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-24 1 1 107,03 107,03 107,03 107,03 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-25 1 1 107,02 107,02 107,02 107,02 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-28 1 1 107,03 107,03 107,03 107,03 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-29 1 1 107,04 107,04 107,04 107,04 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-11-30 1 1 107,04 107,04 107,04 107,04 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-01 1 1 107,04 107,04 107,04 107,04 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-02 1 1 107,03 107,03 107,03 107,03 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-05 1 1 107,03 107,03 107,03 107,03 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-06 1 1 107,02 107,02 107,02 107,02 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-07 1 1 107,02 107,02 107,02 107,02 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-08 1 1 107,02 107,02 107,02 107,02 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-12 1 1 107,03 107,03 107,03 107,03 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-13 1 1 107,04 107,04 107,04 107,04 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-14 1 1 107,05 107,05 107,05 107,05 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-15 1 1 107,05 107,05 107,05 107,05 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-16 1 1 107,05 107,05 107,05 107,05 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-19 1 1 107,06 107,06 107,06 107,06 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-20 1 1 107,06 107,06 107,06 107,06 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-21 1 1 107,06 107,06 107,06 107,06 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-22 1 1 107,06 107,06 107,06 107,06 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-23 1 1 107,07 107,07 107,07 107,07 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-27 1 1 107,08 107,08 107,08 107,08 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-28 1 1 107,08 107,08 107,08 107,08 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-29 1 1 107,08 107,08 107,08 107,08 308908 Aktie-Ansvar AB Ansvar Avkastningsfond SEK 2005-12-30 1 1 107,09 107,09 107,09 107,09 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-03 6,668 6,658 26,05 26,05 173,7014 173,4409 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-04 6,728 6,718 25,84 25,84 173,85152 173,59312 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-05 6,828 6,818 25,52 25,52 174,25056 173,99536 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-07 6,87 6,86 25,37 25,37 174,2919 174,0382 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-10 6,96091 6,95091 25,3 25,3 176,111023 175,858023 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-11 6,96091 6,95091 25,36 25,36 176,5286776 176,2750776 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-12 6,913 6,903 24,97 24,97 172,61761 172,36791 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-13 6,843 6,833 25,07 25,07 171,55401 171,30331 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-14 6,915 6,905 24,98 24,98 172,7367 172,4869 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-17 6,915 6,905 25,13 25,13 173,77395 173,52265 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-18 6,968 6,958 25,23 25,23 175,80264 175,55034 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-19 6,91 6,9 25,29 25,29 174,7539 174,501 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-20 6,96 6,95 25,15 25,15 175,044 174,7925 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-21 6,978 6,968 24,95 24,95 174,1011 173,8516 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-24 6,933 6,923 24,9 24,9 172,6317 172,3827 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-25 6,95 6,94 24,99 24,99 173,6805 173,4306 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-26 6,995 6,985 25,02 25,02 175,0149 174,7647 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-27 6,93 6,92 25,14 25,14 174,2202 173,9688 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-28 6,985 6,975 25,16 25,16 175,7426 175,491 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-01-31 6,998 6,988 24,96 24,96 174,67008 174,42048 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-01 6,993 6,983 25,11 25,11 175,59423 175,34313 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-02 6,953 6,943 25,11 25,11 174,58983 174,33873 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-03 6,968 6,958 25,1 25,1 174,8968 174,6458 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-04 7,01 7 25 25 175,25 175 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-07 7,065 7,055 25,28 25,28 178,6032 178,3504 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-08 7,123 7,113 25,36 25,36 180,63928 180,38568 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-09 7,1 7,09 25,37 25,37 180,127 179,8733 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-10 7,088 7,078 25,22 25,22 178,75936 178,50716 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-11 7,068 7,058 25,27 25,27 178,60836 178,35566 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-14 7,03 7,02 25,42 25,42 178,7026 178,4484 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-15 7,005 6,995 25,58 25,58 179,1879 178,9321 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-16 6,973 6,963 25,61 25,61 178,57853 178,32243 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-17 6,97 6,96 25,47 25,47 177,5259 177,2712 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-18 6,965 6,955 25,44 25,44 177,1896 176,9352 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-21 6,978 6,968 25,52 25,52 178,07856 177,82336 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-22 6,905 6,895 25,61 25,61 176,83705 176,58095 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-23 6,895 6,885 25,45 25,45 175,47775 175,22325 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-24 6,858 6,848 25,37 25,37 173,98746 173,73376 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-25 6,885 6,875 25,52 25,52 175,7052 175,45 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-02-28 6,828 6,818 25,65 25,65 175,1382 174,8817 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-01 6,87 6,86 25,58 25,58 175,7346 175,4788 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-02 6,888 6,878 25,7 25,7 177,0216 176,7646 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-03 6,903 6,893 25,65 25,65 177,06195 176,80545 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-04 6,9 6,89 25,72 25,72 177,468 177,2108 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-07 6,84 6,83 25,93 25,93 177,3612 177,1019 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-08 6,825 6,815 25,97 25,97 177,24525 176,98555 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-09 6,76 6,75 25,88 25,88 174,9488 174,69 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-10 6,745 6,735 25,72 25,72 173,4814 173,2242 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-11 6,765 6,755 25,73 25,73 174,06345 173,80615 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-14 6,76 6,75 25,7 25,7 173,732 173,475 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-15 6,815 6,805 25,63 25,63 174,66845 174,41215 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-16 6,81 6,8 25,64 25,64 174,6084 174,352 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-17 6,795 6,785 25,46 25,46 173,0007 172,7461 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-18 6,828 6,818 25,43 25,43 173,63604 173,38174 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-21 6,908 6,898 25,35 25,35 175,1178 174,8643 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-22 6,928 6,918 25,19 25,19 174,51632 174,26442 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-23 6,973 6,963 25,04 25,04 174,60392 174,35352 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-24 7,008 6,998 24,84 24,84 174,07872 173,83032 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-29 7,055 7,045 24,7 24,7 174,2585 174,0115 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-30 7,053 7,043 24,55 24,55 173,15115 172,90565 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-03-31 7,065 7,055 24,78 24,78 175,0707 174,8229 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-01 7,07 7,06 24,84 24,84 175,6188 175,3704 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-04 7,113 7,103 24,75 24,75 176,04675 175,79925 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-05 7,163 7,153 24,61 24,61 176,28143 176,03533 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-06 7,125 7,115 24,86 24,86 177,1275 176,8789 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-07 7,083 7,073 24,91 24,91 176,43753 176,18843 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-08 7,153 7,143 25,05 25,05 179,18265 178,93215 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-11 7,098 7,088 25,02 25,02 177,59196 177,34176 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-12 7,048 7,038 24,98 24,98 176,05904 175,80924 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-13 7,075 7,065 24,96 24,96 176,592 176,3424 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-14 7,12 7,11 24,92 24,92 177,4304 177,1812 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-15 7,17 7,16 24,54 24,54 175,9518 175,7064 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-18 7,08 7,07 24,28 24,28 171,9024 171,6596 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-19 7,068 7,058 24,32 24,32 171,89376 171,65056 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-20 7,043 7,033 24,51 24,51 172,62393 172,37883 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-21 7,025 7,015 24,29 24,29 170,63725 170,39435 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-22 7,023 7,013 24,58 24,58 172,62534 172,37954 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-25 7,04 7,03 24,58 24,58 173,0432 172,7974 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-26 7,035 7,025 24,64 24,64 173,3424 173,096 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-27 7,085 7,075 24,53 24,53 173,79505 173,54975 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-28 7,085 7,075 24,47 24,47 173,36995 173,12525 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-04-29 7,08 7,07 24,23 24,23 171,5484 171,3061 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-02 7,15 7,14 24,41 24,41 174,5315 174,2874 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-03 7,178 7,168 24,43 24,43 175,35854 175,11424 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-04 7,11 7,1 24,56 24,56 174,6216 174,376 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-06 7,085 7,075 24,94 24,94 176,6999 176,4505 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-09 7,168 7,158 24,89 24,89 178,41152 178,16262 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-10 7,178 7,168 24,9 24,9 178,7322 178,4832 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-11 7,15 7,14 24,73 24,73 176,8195 176,5722 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-12 7,243 7,233 24,67 24,67 178,68481 178,43811 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-13 7,265 7,255 24,56 24,56 178,4284 178,1828 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-17 7,313 7,303 24,59 24,59 179,82667 179,58077 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-18 7,3 7,29 24,66 24,66 180,018 179,7714 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-19 7,26 7,25 25 25 181,5 181,25 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-20 7,28 7,27 25,12 25,12 182,8736 182,6224 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-23 7,32 7,31 25,09 25,09 183,6588 183,4079 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-24 7,295 7,285 25,19 25,19 183,76105 183,50915 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-25 7,298 7,288 25,15 25,15 183,5447 183,2932 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-26 7,33 7,32 25,05 25,05 183,6165 183,366 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-27 7,338 7,328 25,15 25,15 184,5507 184,2992 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-30 7,338 7,328 25,17 25,17 184,69746 184,44576 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-05-31 7,403 7,393 25,15 25,15 186,18545 185,93395 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-01 7,428 7,418 24,98 24,98 185,55144 185,30164 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-02 7,473 7,463 25,09 25,09 187,49757 187,24667 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-03 7,438 7,428 25,1 25,1 186,6938 186,4428 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-07 7,448 7,438 24,96 24,96 185,90208 185,65248 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-08 7,435 7,425 25,1 25,1 186,6185 186,3675 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-09 7,523 7,513 25,07 25,07 188,60161 188,35091 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-10 7,525 7,515 24,98 24,98 187,9745 187,7247 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-13 7,643 7,633 24,95 24,95 190,69285 190,44335 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-14 7,663 7,653 24,94 24,94 191,11522 190,86582 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-15 7,693 7,683 25 25 192,325 192,075 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-16 7,678 7,668 25,01 25,01 192,02678 191,77668 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-17 7,643 7,633 25,13 25,13 192,06859 191,81729 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-20 7,543 7,533 25,26 25,26 190,53618 190,28358 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-21 7,648 7,638 25,1 25,1 191,9648 191,7138 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-22 7,608 7,598 25,23 25,23 191,94984 191,69754 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-27 7,73 7,72 24,98 24,98 193,0954 192,8456 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-28 7,76 7,75 24,82 24,82 192,6032 192,355 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-29 7,833 7,823 24,93 24,93 195,27669 195,02739 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-06-30 7,823 7,813 24,88 24,88 194,63624 194,38744 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-01 7,858 7,848 24,79 24,79 194,79982 194,55192 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-04 7,945 7,935 24,73 24,73 196,47985 196,23255 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-05 7,963 7,953 24,73 24,73 196,92499 196,67769 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-06 7,895 7,885 24,73 24,73 195,24335 194,99605 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-07 7,878 7,868 24,81 24,81 195,45318 195,20508 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-08 7,913 7,903 24,7 24,7 195,4511 195,2041 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-11 7,89 7,88 25,02 25,02 197,4078 197,1576 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-12 7,77 7,76 25,29 25,29 196,5033 196,2504 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-13 7,703 7,693 25,39 25,39 195,57917 195,32527 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-14 7,76 7,75 25,45 25,45 197,492 197,2375 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-15 7,76 7,75 25,67 25,67 199,1992 198,9425 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-18 7,78 7,77 25,63 25,63 199,4014 199,1451 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-19 7,878 7,868 25,55 25,55 201,2829 201,0274 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-20 7,818 7,808 25,63 25,63 200,37534 200,11904 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-21 7,775 7,765 25,63 25,63 199,27325 199,01695 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-22 7,758 7,748 25,63 25,63 198,83754 198,58124 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-25 7,838 7,828 25,63 25,63 200,88794 200,63164 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-26 7,818 7,808 25,63 25,63 200,37534 200,11904 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-27 7,905 7,895 25,63 25,63 202,60515 202,34885 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-28 7,848 7,838 25,63 25,63 201,14424 200,88794 596130 Aragon Asset Management SA Luxembourg Aragon SICAV Global Equities Selection Fund USD 2005-07-29 7,748 7,738 25,63 25,63 198,58124 198,32494 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-03 1 1 229,44 229,44 229,44 229,44 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-04 1 1 232,32 232,32 232,32 232,32 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-05 1 1 234,04 234,04 234,04 234,04 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-07 1 1 231,84 231,84 231,84 231,84 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-10 1 1 233,12 233,12 233,12 233,12 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-11 1 1 234,53 234,53 234,53 234,53 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-12 1 1 232,56 232,56 232,56 232,56 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-13 1 1 230,63 230,63 230,63 230,63 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-14 1 1 232,1 232,1 232,1 232,1 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-17 1 1 233,54 233,54 233,54 233,54 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-18 1 1 234,9 234,9 234,9 234,9 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-19 1 1 233,82 233,82 233,82 233,82 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-20 1 1 234,09 234,09 234,09 234,09 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-21 1 1 231,38 231,38 231,38 231,38 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-24 1 1 231,62 231,62 231,62 231,62 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-25 1 1 230,31 230,31 230,31 230,31 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-26 1 1 233,58 233,58 233,58 233,58 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-27 1 1 234,14 234,14 234,14 234,14 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-28 1 1 236,3 236,3 236,3 236,3 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-01-31 1 1 235,94 235,94 235,94 235,94 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-01 1 1 236,32 236,32 236,32 236,32 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-02 1 1 238,99 238,99 238,99 238,99 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-03 1 1 237,79 237,79 237,79 237,79 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-04 1 1 240,95 240,95 240,95 240,95 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-07 1 1 242,26 242,26 242,26 242,26 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-08 1 1 245,52 245,52 245,52 245,52 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-09 1 1 244,29 244,29 244,29 244,29 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-10 1 1 245,11 245,11 245,11 245,11 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-11 1 1 241,95 241,95 241,95 241,95 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-14 1 1 244,75 244,75 244,75 244,75 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-15 1 1 246,01 246,01 246,01 246,01 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-16 1 1 247,54 247,54 247,54 247,54 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-17 1 1 247,15 247,15 247,15 247,15 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-18 1 1 247,06 247,06 247,06 247,06 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-21 1 1 246,46 246,46 246,46 246,46 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-22 1 1 247,63 247,63 247,63 247,63 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-23 1 1 246,52 246,52 246,52 246,52 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-24 1 1 245,04 245,04 245,04 245,04 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-25 1 1 246,7 246,7 246,7 246,7 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-02-28 1 1 249,62 249,62 249,62 249,62 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-01 1 1 250,01 250,01 250,01 250,01 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-02 1 1 250,8 250,8 250,8 250,8 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-03 1 1 253,11 253,11 253,11 253,11 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-04 1 1 253,09 253,09 253,09 253,09 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-07 1 1 256,01 256,01 256,01 256,01 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-08 1 1 256,51 256,51 256,51 256,51 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-09 1 1 254,86 254,86 254,86 254,86 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-10 1 1 256,04 256,04 256,04 256,04 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-11 1 1 254,11 254,11 254,11 254,11 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-14 1 1 254,79 254,79 254,79 254,79 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-15 1 1 255,93 255,93 255,93 255,93 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-16 1 1 257,17 257,17 257,17 257,17 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-17 1 1 254,42 254,42 254,42 254,42 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-18 1 1 254,76 254,76 254,76 254,76 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-21 1 1 255,39 255,39 255,39 255,39 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-22 1 1 256,36 256,36 256,36 256,36 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-23 1 1 256,25 256,25 256,25 256,25 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-24 1 1 253,47 253,47 253,47 253,47 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-29 1 1 252,74 252,74 252,74 252,74 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-30 1 1 253,21 253,21 253,21 253,21 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-03-31 1 1 252,06 252,06 252,06 252,06 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-01 1 1 253,94 253,94 253,94 253,94 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-04 1 1 256,08 256,08 256,08 256,08 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-05 1 1 255,97 255,97 255,97 255,97 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-06 1 1 258,23 258,23 258,23 258,23 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-07 1 1 258,82 258,82 258,82 258,82 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-08 1 1 260,87 260,87 260,87 260,87 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-11 1 1 263,79 263,79 263,79 263,79 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-12 1 1 263,22 263,22 263,22 263,22 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-13 1 1 263,35 263,35 263,35 263,35 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-14 1 1 264,6 264,6 264,6 264,6 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-15 1 1 263,52 263,52 263,52 263,52 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-18 1 1 257,87 257,87 257,87 257,87 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-19 1 1 253,3 253,3 253,3 253,3 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-20 1 1 254,96 254,96 254,96 254,96 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-21 1 1 255,92 255,92 255,92 255,92 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-22 1 1 257,26 257,26 257,26 257,26 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-25 1 1 260,93 260,93 260,93 260,93 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-26 1 1 261,67 261,67 261,67 261,67 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-27 1 1 259,94 259,94 259,94 259,94 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-28 1 1 254,3 254,3 254,3 254,3 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-04-29 1 1 251,98 251,98 251,98 251,98 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-02 1 1 252,34 252,34 252,34 252,34 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-03 1 1 254,42 254,42 254,42 254,42 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-04 1 1 255,35 255,35 255,35 255,35 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-06 1 1 255,41 255,41 255,41 255,41 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-09 1 1 259,94 259,94 259,94 259,94 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-10 1 1 261,48 261,48 261,48 261,48 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-11 1 1 261,04 261,04 261,04 261,04 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-12 1 1 259,87 259,87 259,87 259,87 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-13 1 1 261,01 261,01 261,01 261,01 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-17 1 1 262,68 262,68 262,68 262,68 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-18 1 1 262,7 262,7 262,7 262,7 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-19 1 1 263,9 263,9 263,9 263,9 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-20 1 1 266,07 266,07 266,07 266,07 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-23 1 1 266,21 266,21 266,21 266,21 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-24 1 1 266,91 266,91 266,91 266,91 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-25 1 1 268,45 268,45 268,45 268,45 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-26 1 1 267,96 267,96 267,96 267,96 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-27 1 1 273,14 273,14 273,14 273,14 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-30 1 1 274,28 274,28 274,28 274,28 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-05-31 1 1 274,96 274,96 274,96 274,96 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-01 1 1 276,17 276,17 276,17 276,17 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-02 1 1 278,76 278,76 278,76 278,76 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-03 1 1 279,04 279,04 279,04 279,04 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-07 1 1 280,7 280,7 280,7 280,7 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-08 1 1 282,79 282,79 282,79 282,79 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-09 1 1 285,24 285,24 285,24 285,24 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-10 1 1 285,23 285,23 285,23 285,23 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-13 1 1 288,13 288,13 288,13 288,13 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-14 1 1 289,62 289,62 289,62 289,62 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-15 1 1 290,57 290,57 290,57 290,57 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-16 1 1 290,26 290,26 290,26 290,26 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-17 1 1 292,29 292,29 292,29 292,29 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-20 1 1 291,85 291,85 291,85 291,85 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-21 1 1 294,21 294,21 294,21 294,21 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-22 1 1 296,62 296,62 296,62 296,62 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-27 1 1 301,05 301,05 301,05 301,05 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-28 1 1 294,85 294,85 294,85 294,85 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-29 1 1 297,18 297,18 297,18 297,18 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-06-30 1 1 299,38 299,38 299,38 299,38 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-01 1 1 298,75 298,75 298,75 298,75 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-04 1 1 302,26 302,26 302,26 302,26 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-05 1 1 303,01 303,01 303,01 303,01 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-06 1 1 302,81 302,81 302,81 302,81 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-07 1 1 303,58 303,58 303,58 303,58 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-08 1 1 299,99 299,99 299,99 299,99 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-11 1 1 307,14 307,14 307,14 307,14 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-12 1 1 310,26 310,26 310,26 310,26 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-13 1 1 309,12 309,12 309,12 309,12 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-14 1 1 309,7 309,7 309,7 309,7 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-15 1 1 309,78 309,78 309,78 309,78 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-18 1 1 309,24 309,24 309,24 309,24 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-19 1 1 308,95 308,95 308,95 308,95 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-20 1 1 309,21 309,21 309,21 309,21 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-21 1 1 309,21 309,21 309,21 309,21 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-22 1 1 309,21 309,21 309,21 309,21 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-25 1 1 309,21 309,21 309,21 309,21 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-26 1 1 309,21 309,21 309,21 309,21 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-27 1 1 309,21 309,21 309,21 309,21 560300 Aragon Asset Management SA Luxembourg Aragon SICAV Nordic Equities Selection Fund SEK 2005-07-28 1 1 309,21 309,21 309,21 309,21 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-03 9,0065 9,0015 37,2679 37,2679 335,65334135 335,46700185 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-04 9,0345 9,0295 37,1355 37,1355 335,50067475 335,31499725 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-05 9,0615 9,0565 36,96545 36,96545 334,962425175 334,777597925 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-07 9,0615 9,0565 37,23587 37,23587 337,412836005 337,226656655 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-10 9,08619 9,08119 37,30446 37,30446 338,9554114074 338,7688891074 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-11 9,08619 9,08119 37,06172 37,06172 336,7498296468 336,5645210468 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-12 9,0455 9,0405 37,0771 37,0771 335,38090805 335,19552255 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-13 9,0505 9,0455 36,86407 36,86407 333,638265535 333,453945185 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-14 9,0455 9,0405 37,15045 37,15045 336,044395475 335,858643225 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-17 9,0685 9,0635 37,35458 37,35458 338,75000873 338,56323583 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-18 9,0585 9,0535 37,2376 37,2376 337,3167996 337,1306116 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-19 9,0225 9,0175 37,45498 37,45498 337,93755705 337,75028215 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-20 9,0315 9,0265 37,19972 37,19972 335,96927118 335,78327258 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-21 9,0505 9,0455 37,15305 37,15305 336,253679025 336,067913775 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-24 9,0655 9,0605 37,07638 37,07638 336,11592289 335,93054099 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-25 9,0715 9,0665 37,35744 37,35744 338,88801696 338,70122976 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-26 9,0885 9,0835 37,38456 37,38456 339,76957356 339,58265076 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-27 9,0675 9,0625 37,30821 37,30821 338,292194175 338,105653125 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-28 9,0955 9,0905 37,4204 37,4204 340,3572482 340,1701462 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-01-31 9,1075 9,1025 37,56702 37,56702 342,14163465 341,95379955 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-01 9,1035 9,0985 37,77205 37,77205 343,857857175 343,668996925 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-02 9,0905 9,0855 38,06703 38,06703 346,048336215 345,858001065 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-03 9,0695 9,0645 38,04236 38,04236 345,02518402 344,83497222 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-04 9,0895 9,0845 38,21387 38,21387 347,344971365 347,153902015 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-07 9,0755 9,0705 38,52577 38,52577 349,640625635 349,447996785 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-08 9,0895 9,0845 38,5877 38,5877 350,74289915 350,54996065 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-09 9,0695 9,0645 38,52135 38,52135 349,369383825 349,176777075 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-10 9,0805 9,0755 38,58362 38,58362 350,35856141 350,16564331 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-11 9,0935 9,0885 38,84718 38,84718 353,25683133 353,06259543 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-14 9,1105 9,1055 38,95134 38,95134 354,86618307 354,67142637 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-15 9,0765 9,0715 39,10877 39,10877 354,970750905 354,775207055 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-16 9,0705 9,0655 39,00658 39,00658 353,80918389 353,61415099 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-17 9,0925 9,0875 39,18964 39,18964 356,3318017 356,1358535 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-18 9,0945 9,0895 39,319 39,319 357,5866455 357,3900505 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-21 9,1185 9,1135 39,00914 39,00914 355,70484309 355,50979739 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-22 9,0975 9,0925 38,5579 38,5579 350,78049525 350,58770575 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-23 9,1045 9,0995 38,33378 38,33378 349,00990001 348,81823111 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-24 9,0715 9,0665 38,50095 38,50095 349,261367925 349,068863175 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-25 9,0845 9,0795 38,89474 38,89474 353,33926553 353,14479183 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-02-28 9,0505 9,0455 39,12472 39,12472 354,09827836 353,90265476 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-01 9,0565 9,0515 39,22875 39,22875 355,275174375 355,079030625 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-02 9,0645 9,0595 39,1859 39,1859 355,20059055 355,00466105 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-03 9,0675 9,0625 39,27165 39,27165 356,095686375 355,899328125 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-04 9,0415 9,0365 39,40646 39,40646 356,29350809 356,09647579 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-07 9,0425 9,0375 39,75321 39,75321 359,468401425 359,269635375 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-08 9,0345 9,0295 39,57853 39,57853 357,572229285 357,374336635 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-09 9,0365 9,0315 39,65731 39,65731 358,363281815 358,164995265 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-10 9,0655 9,0605 39,04481 39,04481 353,960725055 353,765501005 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-11 9,0795 9,0745 39,13646 39,13646 355,33948857 355,14380627 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-14 9,0695 9,0645 39,03163 39,03163 353,997368285 353,802210135 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-15 9,1035 9,0985 39,25792 39,25792 357,38447472 357,18818512 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-16 9,0975 9,0925 39,17581 39,17581 356,401931475 356,206052425 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-17 9,1045 9,0995 38,73716 38,73716 352,68247322 352,48878742 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-18 9,1035 9,0985 38,91817 38,91817 354,291560595 354,096969745 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-21 9,1265 9,1215 38,93852 38,93852 355,37240278 355,17771018 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-22 9,1265 9,1215 38,48308 38,48308 351,21582962 351,02341422 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-23 9,1165 9,1115 38,55584 38,55584 351,49431536 351,30153616 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-24 9,1135 9,1085 38,74962 38,74962 353,14466187 352,95091377 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-29 9,1315 9,1265 38,70754 38,70754 353,45790151 353,26436381 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-30 9,1425 9,1375 38,7555 38,7555 354,32215875 354,12838125 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-03-31 9,1405 9,1355 38,91848 38,91848 355,73436644 355,53977404 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-01 9,1645 9,1595 38,94962 38,94962 356,95379249 356,75904439 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-04 9,1695 9,1645 38,65035 38,65035 354,404384325 354,211132575 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-05 9,1745 9,1695 38,88343 38,88343 356,736028535 356,541611385 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-06 9,1705 9,1655 39,07982 39,07982 358,38148931 358,18609021 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-07 9,1505 9,1455 39,24452 39,24452 359,10698026 358,91075766 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-08 9,1625 9,1575 39,44349 39,44349 361,400977125 361,203759675 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-11 9,1705 9,1655 39,23238 39,23238 359,78054079 359,58437889 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-12 9,1525 9,1475 39,26596 39,26596 359,3816989 359,1853691 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-13 9,1495 9,1445 39,37568 39,37568 360,26778416 360,07090576 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-14 9,1685 9,1635 39,1204 39,1204 358,6753874 358,4797854 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-15 9,1925 9,1875 38,57612 38,57612 354,6109831 354,4181025 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-18 9,1805 9,1755 37,57066 37,57066 344,91744413 344,72959083 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-19 9,2035 9,1985 37,70367 37,70367 347,005726845 346,817208495 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-20 9,1915 9,1865 37,77346 37,77346 347,19475759 347,00589029 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-21 9,1855 9,1805 37,54303 37,54303 344,851502065 344,663786915 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-22 9,1625 9,1575 37,72436 37,72436 345,6494485 345,4608267 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-25 9,1685 9,1635 37,71936 37,71936 345,82995216 345,64135536 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-26 9,1375 9,1325 37,78331 37,78331 345,244995125 345,056078575 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-27 9,1465 9,1415 37,46028 37,46028 342,63045102 342,44314962 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-28 9,1505 9,1455 37,21383 37,21383 340,525151415 340,339082265 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-04-29 9,1705 9,1655 37,26684 37,26684 341,75555622 341,56922202 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-02 9,1935 9,1885 37,64318 37,64318 346,07257533 345,88435943 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-03 9,2245 9,2195 37,72657 37,72657 348,008744965 347,820112115 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-04 9,1915 9,1865 37,70369 37,70369 346,553466635 346,364948185 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-06 9,1715 9,1665 38,04172 38,04172 348,89963498 348,70942638 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-09 9,1815 9,1765 38,17436 38,17436 350,49788634 350,30701454 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-10 9,1985 9,1935 38,0229 38,0229 349,75364565 349,56353115 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-11 9,2105 9,2055 37,94671 37,94671 349,508172455 349,318438905 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-12 9,2315 9,2265 38,12683 38,12683 351,967831145 351,777196995 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-13 9,2045 9,1995 37,91885 37,91885 349,024054825 348,834460575 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-16 9,2145 9,2095 37,96454 37,96454 349,82425383 349,63443113 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-17 9,2325 9,2275 37,92087 37,92087 350,104432275 349,914827925 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-18 9,2095 9,2045 38,38324 38,38324 353,49044878 353,29853258 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-19 9,1905 9,1855 38,82144 38,82144 356,78844432 356,59433712 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-20 9,1955 9,1905 38,99184 38,99184 358,54946472 358,35450552 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-23 9,1805 9,1755 39,05186 39,05186 358,51560073 358,32034143 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-24 9,1815 9,1765 39,04888 39,04888 358,52729172 358,33204732 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-25 9,1785 9,1735 39,18287 39,18287 359,639972295 359,444057945 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-26 9,1945 9,1895 39,47785 39,47785 362,979091825 362,781702575 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-27 9,1955 9,1905 39,4322 39,4322 362,5987951 362,4016341 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-30 9,1905 9,1855 39,62627 39,62627 364,185234435 363,987103085 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-05-31 9,1665 9,1615 39,64485 39,64485 363,404517525 363,206293275 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-01 9,1455 9,1405 39,78789 39,78789 363,880147995 363,681208545 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-02 9,1565 9,1515 40,22307 40,22307 368,302540455 368,101425105 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-03 9,1315 9,1265 40,22029 40,22029 367,271578135 367,070476685 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-07 9,1455 9,1405 40,12807 40,12807 366,991264185 366,790623835 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-08 9,1455 9,1405 40,32243 40,32243 368,768783565 368,567171415 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-09 9,1965 9,1915 40,16449 40,16449 369,372732285 369,171909835 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-10 9,1975 9,1925 40,66369 40,66369 374,004288775 373,800970325 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-13 9,2365 9,2315 40,62653 40,62653 375,246944345 375,043811695 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-14 9,2985 9,2935 40,69869 40,69869 378,436768965 378,233275515 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-15 9,2695 9,2645 40,86591 40,86591 378,806552745 378,602223195 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-16 9,2695 9,2645 40,78743 40,78743 378,079082385 377,875145235 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-17 9,2695 9,2645 41,08644 41,08644 380,85075558 380,64532338 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-20 9,2255 9,2205 40,88335 40,88335 377,169345425 376,964928675 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-21 9,2725 9,2675 41,03242 41,03242 380,47311445 380,26795235 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-22 9,2615 9,2565 41,23157 41,23157 381,866185555 381,660027705 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-23 9,3535 9,3485 41,31387 41,31387 386,429283045 386,222713695 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-27 9,3855 9,3805 40,57228 40,57228 380,79113394 380,58827254 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-28 9,3995 9,3945 40,864 40,864 384,101168 383,896848 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-29 9,4215 9,4165 41,0516 41,0516 386,7676494 386,5623914 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-06-30 9,4415 9,4365 41,19653 41,19653 388,957037995 388,751055345 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-01 9,4595 9,4545 41,35425 41,35425 391,190527875 390,983756625 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-04 9,4795 9,4745 41,56712 41,56712 394,03551404 393,82767844 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-05 9,4575 9,4525 41,41301 41,41301 391,663542075 391,456477025 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-06 9,4195 9,4145 41,75357 41,75357 393,297752615 393,088984765 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-07 9,3965 9,3915 40,41569 40,41569 379,766031085 379,563952635 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-08 9,4175 9,4125 41,63614 41,63614 392,10834845 391,90016775 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-11 9,4665 9,4615 42,01004 42,01004 397,68804366 397,47799346 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-12 9,4645 9,4595 41,94904 41,94904 397,02668908 396,81694388 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-13 9,3915 9,3865 42,0921 42,0921 395,30795715 395,09749665 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-14 9,3675 9,3625 42,40107 42,40107 397,192023225 396,980017875 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-15 9,4055 9,4005 42,34565 42,34565 398,282011075 398,070282825 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-18 9,3895 9,3845 42,47222 42,47222 398,79290969 398,58054859 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-19 9,4425 9,4375 42,61069 42,61069 402,351440325 402,138386875 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-20 9,4265 9,4215 42,85832 42,85832 404,00395348 403,78966188 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-21 9,4625 9,4575 43,05427 43,05427 407,401029875 407,185758525 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-22 9,4495 9,4445 42,80728 42,80728 404,50739236 404,29335596 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-25 9,4275 9,4225 43,05937 43,05937 405,942210675 405,726913825 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-26 9,4155 9,4105 43,22081 43,22081 406,945536555 406,729432505 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-27 9,4725 9,4675 43,18256 43,18256 409,0467996 408,8308868 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-28 9,4515 9,4465 43,38219 43,38219 410,026768785 409,809857835 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-07-29 9,3885 9,3835 43,5835 43,5835 409,18368975 408,96577225 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-01 9,3985 9,3935 43,43384 43,43384 408,21294524 407,99577604 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-02 9,3995 9,3945 43,48145 43,48145 408,703889275 408,486482025 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-03 9,3755 9,3705 43,66955 43,66955 409,423866025 409,205518275 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-04 9,3735 9,3685 43,42936 43,42936 407,08510596 406,86795916 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-05 9,3355 9,3305 43,26175 43,26175 403,870067125 403,653758375 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-08 9,3335 9,3285 43,32345 43,32345 404,359420575 404,142803325 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-09 9,3455 9,3405 43,27482 43,27482 404,42483031 404,20845621 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-10 9,3535 9,3485 43,93291 43,93291 410,926473685 410,706809135 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-11 9,3365 9,3315 43,86216 43,86216 409,51905684 409,29974604 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-12 9,3025 9,2975 43,67237 43,67237 406,262221925 406,043860075 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-15 9,3065 9,3015 43,72387 43,72387 406,916196155 406,697576805 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-16 9,2995 9,2945 43,7489 43,7489 406,84289555 406,62415105 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-17 9,3405 9,3355 43,17889 43,17889 403,312422045 403,096527595 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-18 9,3365 9,3315 42,98371 42,98371 401,317408415 401,102489865 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-19 9,3395 9,3345 43,24606 43,24606 403,89657737 403,68034707 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-22 9,3655 9,3605 43,61364 43,61364 408,46354542 408,24547722 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-23 9,3715 9,3665 43,28303 43,28303 405,626915645 405,410500495 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-24 9,3365 9,3315 42,95342 42,95342 401,03460583 400,81983873 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-25 9,3335 9,3285 42,75361 42,75361 399,040818935 398,827050885 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-26 9,3415 9,3365 42,82633 42,82633 400,062161695 399,848030045 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-29 9,3295 9,3245 42,13255 42,13255 393,075625225 392,864962475 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-30 9,3285 9,3235 42,60591 42,60591 397,449231435 397,236201885 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-08-31 9,3585 9,3535 42,70945 42,70945 399,696387825 399,482840575 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-01 9,3365 9,3315 43,13011 43,13011 402,684272015 402,468621465 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-02 9,3025 9,2975 43,05298 43,05298 400,50034645 400,28508155 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-05 9,2845 9,2795 43,28267 43,28267 401,857949615 401,641536265 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-06 9,3225 9,3175 43,74787 43,74787 407,839518075 407,620778725 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-07 9,3075 9,3025 44,22451 44,22451 411,619626825 411,398504275 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-08 9,3255 9,3205 44,21711 44,21711 412,346659305 412,125573755 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-09 9,3445 9,3395 44,25073 44,25073 413,500946485 413,279692835 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-12 9,3015 9,2965 44,29516 44,29516 412,01143074 411,78995494 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-13 9,3015 9,2965 43,86294 43,86294 407,99113641 407,77182171 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-14 9,3365 9,3315 43,93682 43,93682 410,21611993 409,99643583 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-15 9,3425 9,3375 44,06709 44,06709 411,696788325 411,476452875 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-16 9,3465 9,3415 44,27168 44,27168 413,78525712 413,56389872 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-19 9,3355 9,3305 44,24647 44,24647 413,062920685 412,841688335 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-20 9,3395 9,3345 44,47834 44,47834 415,40545643 415,18306473 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-21 9,3405 9,3355 44,15114 44,15114 412,39372317 412,17296747 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-22 9,3405 9,3355 43,7843 43,7843 408,96725415 408,74833265 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-23 9,3695 9,3645 44,06168 44,06168 412,83591076 412,61560236 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-26 9,3815 9,3765 44,72622 44,72622 419,59903293 419,37540183 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-27 9,3885 9,3835 44,77006 44,77006 420,32370831 420,09985801 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-28 9,3935 9,3885 45,1087 45,1087 423,72857345 423,50302995 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-29 9,3845 9,3795 45,08304 45,08304 423,08178888 422,85637368 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-09-30 9,3435 9,3385 45,20326 45,20326 422,35665981 422,13064351 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-03 9,3025 9,2975 45,43911 45,43911 422,697320775 422,470125225 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-04 9,3185 9,3135 45,5964 45,5964 424,8900534 424,6620714 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-05 9,3105 9,3055 45,26936 45,26936 421,48037628 421,25402948 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-06 9,3015 9,2965 44,41399 44,41399 413,116727985 412,894658035 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-07 9,3385 9,3335 44,44149 44,44149 415,016854365 414,794646915 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-10 9,3465 9,3415 44,77493 44,77493 418,488883245 418,265008595 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-11 9,3395 9,3345 44,78438 44,78438 418,26371701 418,03979511 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-12 9,3375 9,3325 44,43395 44,43395 414,902008125 414,679838375 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-13 9,3815 9,3765 44,02585 44,02585 413,028511775 412,808382525 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-14 9,4135 9,4085 43,80804 43,80804 412,38698454 412,16794434 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-17 9,4575 9,4525 43,98235 43,98235 415,963075125 415,743163375 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-18 9,4625 9,4575 44,08188 44,08188 417,1247895 416,9043801 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-19 9,4605 9,4555 43,24792 43,24792 409,14694716 408,93070756 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-20 9,4935 9,4885 43,59049 43,59049 413,826316815 413,608364365 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-21 9,4915 9,4865 43,14364 43,14364 409,49785906 409,28214086 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-24 9,5455 9,5405 43,24422 43,24422 412,78770201 412,57148091 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-25 9,5465 9,5415 43,41798 43,41798 414,48974607 414,27265617 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-26 9,4975 9,4925 43,47965 43,47965 412,947975875 412,730577625 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-27 9,5355 9,5305 43,27475 43,27475 412,646378625 412,430004875 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-28 9,5135 9,5085 42,91299 42,91299 408,252730365 408,038165415 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-10-31 9,5495 9,5445 43,56578 43,56578 416,03141611 415,81358721 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-01 9,5495 9,5445 43,86788 43,86788 418,91632006 418,69698066 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-02 9,5855 9,5805 43,69478 43,69478 418,83631369 418,61783979 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-03 9,6515 9,6465 44 44 424,666 424,446 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-04 9,5875 9,5825 44,17218 44,17218 423,50077575 423,27991485 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-07 9,6075 9,6025 44,0694 44,0694 423,3967605 423,1764135 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-08 9,5685 9,5635 44,30916 44,30916 423,97219746 423,75065166 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-09 9,5575 9,5525 44,24499 44,24499 422,871491925 422,650266975 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-10 9,6105 9,6055 44,32303 44,32303 425,966479815 425,744864665 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-11 9,6365 9,6315 44,65679 44,65679 430,335156835 430,111872885 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-14 9,5505 9,5455 44,83928 44,83928 428,23754364 428,01334724 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-15 9,5805 9,5755 44,68345 44,68345 428,089792725 427,866375475 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-16 9,6235 9,6185 44,59032 44,59032 429,11494452 428,89199292 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-17 9,6355 9,6305 44,69364 44,69364 430,64556822 430,42210002 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-18 9,6085 9,6035 44,98457 44,98457 432,234240845 432,009317995 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-21 9,5915 9,5865 44,91015 44,91015 430,755703725 430,531152975 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-22 9,5585 9,5535 45,02198 45,02198 430,34259583 430,11748593 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-23 9,5155 9,5105 45,09984 45,09984 429,14752752 428,92202832 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-24 9,5125 9,5075 45,04132 45,04132 428,4555565 428,2303499 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-25 9,4965 9,4915 45,16792 45,16792 428,93715228 428,71131268 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-28 9,4835 9,4785 45,4279 45,4279 430,81548965 430,58835015 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-29 9,4785 9,4735 45,10585 45,10585 427,535799225 427,310269975 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-11-30 9,5295 9,5245 45,13619 45,13619 430,125322605 429,899641655 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-01 9,5165 9,5115 45,41807 45,41807 432,221063155 431,993972805 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-02 9,4905 9,4855 45,81539 45,81539 434,810958795 434,581881845 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-05 9,4065 9,4015 45,85124 45,85124 431,29968906 431,07043286 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-07 9,4255 9,4205 46,04381 46,04381 433,985931155 433,755712105 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-08 9,3965 9,3915 45,63221 45,63221 428,783061265 428,554900215 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-12 9,4315 9,4265 45,99963 45,99963 433,845510345 433,615512195 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-13 9,4295 9,4245 45,96444 45,96444 433,42168698 433,19186478 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-14 9,4365 9,4315 45,98136 45,98136 433,90310364 433,67319684 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-15 9,4345 9,4295 45,94896 45,94896 433,50546312 433,27571832 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-16 9,4765 9,4715 46,07606 46,07606 436,63978259 436,40940229 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-19 9,4535 9,4485 46,07104 46,07104 435,53257664 435,30222144 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-20 9,4015 9,3965 46,08075 46,08075 433,228171125 432,997767375 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-21 9,4485 9,4435 46,37147 46,37147 438,140834295 437,908976945 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-22 9,4365 9,4315 46,41651 46,41651 438,009396615 437,777314065 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-23 9,4425 9,4375 46,54395 46,54395 439,491247875 439,258528125 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-27 9,4915 9,4865 46,75838 46,75838 443,80716377 443,57337187 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-28 9,4345 9,4295 46,81539 46,81539 441,679796955 441,445720005 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-29 9,4115 9,4065 46,83476 46,83476 440,78534374 440,55116994 893636 Sampo Fondbolag Ab Arvo Euro Value EUR 2005-12-30 9,4325 9,4275 46,49342 46,49342 438,54918415 438,31671705 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-04 6,728 6,718 8,0843 8,0106 54,3911704 53,8152108 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-05 6,828 6,818 7,954 7,8819 54,309912 53,7387942 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-07 6,87 6,86 7,9748 7,9021 54,786876 54,208406 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-10 6,96091 6,95091 7,9503 7,8784 55,341322773 54,762049344 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-11 6,96091 6,95091 8,0092 7,9372 55,751320372 55,170762852 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-12 6,913 6,903 7,977 7,9054 55,145001 54,5709762 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-13 6,843 6,833 8,0218 7,9504 54,8931774 54,3250832 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-14 6,915 6,905 8,0346 7,9628 55,559259 54,983134 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-17 6,915 6,905 8,1006 8,0281 56,015649 55,4340305 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-18 6,968 6,958 8,0608 7,9889 56,1676544 55,5867662 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-19 6,91 6,9 8,1242 8,0529 56,138222 55,56501 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-20 6,96 6,95 8,0276 7,9571 55,872096 55,301845 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-21 6,978 6,968 8,0138 7,943 55,9202964 55,346824 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-24 6,933 6,923 8,0646 7,9944 55,9118718 55,3452312 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-25 6,95 6,94 8,0537 7,9795 55,973215 55,37773 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-26 6,995 6,985 8,0849 8,009 56,5538755 55,942865 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-27 6,93 6,92 8,0917 8,0182 56,075481 55,485944 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-28 6,985 6,975 8,1039 8,0295 56,6057415 56,0057625 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-01-31 6,998 6,988 8,1073 8,0345 56,7348854 56,145086 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-01 6,993 6,983 8,1477 8,0741 56,9768661 56,3814403 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-02 6,953 6,943 8,2151 8,1394 57,1195903 56,5118542 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-03 6,968 6,958 8,2129 8,1374 57,2274872 56,6200292 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-04 7,01 7 8,2133 8,137 57,575233 56,959 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-07 7,065 7,055 8,2675 8,1917 58,4098875 57,7924435 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-08 7,123 7,113 8,2331 8,1602 58,6443713 58,0435026 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-09 7,1 7,09 8,2442 8,171 58,53382 57,93239 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-10 7,088 7,078 8,2119 8,1402 58,2059472 57,6163356 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-11 7,068 7,058 8,2739 8,1999 58,4799252 57,8748942 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-14 7,03 7,02 8,3952 8,3187 59,018256 58,397274 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-15 7,005 6,995 8,3911 8,3148 58,7796555 58,162026 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-16 6,973 6,963 8,3722 8,2975 58,3793506 57,7754925 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-17 6,97 6,96 8,3949 8,3183 58,512453 57,895368 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-18 6,965 6,955 8,3833 8,3086 58,3896845 57,786313 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-21 6,978 6,968 8,3779 8,3045 58,4609862 57,865756 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-22 6,905 6,895 8,3949 8,321 57,9667845 57,373295 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-23 6,895 6,885 8,3196 8,2473 57,363642 56,7826605 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-24 6,858 6,848 8,3884 8,3122 57,5276472 56,9219456 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-25 6,885 6,875 8,4072 8,3972 57,883572 57,73075 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-02-28 6,828 6,818 8,5815 8,5079 58,594482 58,0068622 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-01 6,87 6,86 8,5679 8,4955 58,861473 58,27913 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-02 6,888 6,878 8,5511 8,4768 58,8999768 58,3034304 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-03 6,903 6,893 8,5777 8,5045 59,2118631 58,6215185 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-04 6,9 6,89 8,5736 8,5035 59,15784 58,589115 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-07 6,84 6,83 8,6917 8,6179 59,451228 58,860257 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-08 6,825 6,815 8,6946 8,6213 59,340645 58,7541595 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-09 6,76 6,75 8,7396 8,668 59,079696 58,509 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-10 6,745 6,735 8,6706 8,5977 58,483197 57,9055095 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-11 6,765 6,755 8,6564 8,586 58,560546 57,99843 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-14 6,76 6,75 8,6232 8,5514 58,292832 57,72195 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-15 6,815 6,805 8,6002 8,529 58,610363 58,039845 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-16 6,81 6,8 8,5862 8,5151 58,472022 57,90268 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-18 6,828 6,818 8,5517 8,4801 58,3910076 57,8173218 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-21 6,908 6,898 8,5224 8,4496 58,8727392 58,2853408 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-22 6,928 6,918 8,4694 8,3985 58,6760032 58,100823 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-23 6,973 6,963 8,3514 8,2806 58,2343122 57,6578178 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-24 7,008 6,998 8,2957 8,2264 58,1362656 57,5683472 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-29 7,055 7,045 8,2637 8,1949 58,3004035 57,7330705 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-30 7,053 7,043 8,1792 8,1113 57,6878976 57,1278859 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-03-31 7,065 7,055 8,2753 8,2077 58,4649945 57,9053235 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-01 7,07 7,06 8,3313 8,2625 58,902291 58,33325 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-04 7,113 7,103 8,262 8,1956 58,767606 58,2133468 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-05 7,163 7,153 8,2714 8,2015 59,2480382 58,6653295 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-06 7,125 7,115 8,3275 8,2571 59,3334375 58,7492665 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-07 7,083 7,073 8,3607 8,2897 59,2188381 58,6330481 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-08 7,153 7,143 8,3533 8,2842 59,7511549 59,1740406 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-11 7,098 7,088 8,3195 8,2473 59,051811 58,4568624 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-12 7,048 7,038 8,3144 8,2433 58,5998912 58,0163454 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-13 7,075 7,065 8,3303 8,2579 58,9368725 58,3420635 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-14 7,12 7,11 8,212 8,139 58,46944 57,86829 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-15 7,17 7,16 8,0533 7,9774 57,742161 57,118184 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-18 7,08 7,07 7,9099 7,8409 56,002092 55,435163 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-19 7,068 7,058 7,9709 7,9022 56,3383212 55,7737276 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-20 7,043 7,033 8,0636 7,9936 56,7919348 56,2189888 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-21 7,025 7,015 8,0085 7,9381 56,2597125 55,6857715 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-22 7,023 7,013 8,0889 8,0171 56,8083447 56,2239223 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-25 7,04 7,03 8,0617 7,9886 56,754368 56,159858 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-26 7,035 7,025 8,0758 8,0053 56,813253 56,2372325 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-27 7,085 7,075 7,9997 7,9268 56,6778745 56,08211 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-28 7,085 7,075 8,0063 7,9363 56,7246355 56,1493225 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-04-29 7,08 7,07 7,9972 7,928 56,620176 56,05096 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-03 7,178 7,168 8,0592 7,9893 57,8489376 57,2673024 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-04 7,11 7,1 8,0891 8,0199 57,513501 56,94129 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-06 7,085 7,075 8,1907 8,1188 58,0311095 57,44051 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-10 7,178 7,168 8,1693 8,0987 58,6392354 58,0514816 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-11 7,15 7,14 8,1286 8,0569 58,11949 57,526266 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-12 7,243 7,233 8,0895 8,0183 58,5922485 57,9963639 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-13 7,265 7,255 7,9573 7,889 57,8097845 57,234695 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-16 7,32 7,31 7,863 7,7939 57,55716 56,973409 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-17 7,313 7,303 7,871 7,802 57,560623 56,978006 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-18 7,3 7,29 7,9065 7,8355 57,71745 57,120795 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-19 7,26 7,25 8,0365 7,9634 58,34499 57,73465 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-20 7,28 7,27 8,0418 7,97 58,544304 57,9419 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-23 7,32 7,31 8,0312 7,9591 58,788384 58,181021 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-24 7,295 7,285 8,0815 8,0091 58,9545425 58,3462935 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-25 7,298 7,288 8,0604 7,9882 58,8247992 58,2180016 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-26 7,33 7,32 8,0564 7,9837 59,053412 58,440684 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-27 7,338 7,328 8,1113 8,0394 59,5207194 58,9127232 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-05-31 7,403 7,393 8,1218 8,0496 60,1256854 59,5106928 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-01 7,428 7,418 8,1227 8,0476 60,3354156 59,6970968 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-02 7,473 7,463 8,1651 8,0961 61,0177923 60,4211943 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-03 7,438 7,428 8,1731 8,1012 60,7915178 60,1757136 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-07 7,448 7,438 8,2094 8,1356 61,1436112 60,5125928 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-08 7,435 7,425 8,224 8,1491 61,14544 60,5070675 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-09 7,523 7,513 8,1686 8,0949 61,4523778 60,8169837 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-10 7,525 7,515 8,2262 8,1521 61,902155 61,2630315 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-13 7,643 7,633 8,1809 8,1103 62,5266187 61,9059199 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-14 7,663 7,653 8,182 8,1067 62,698666 62,0405751 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-15 7,693 7,683 8,2063 8,1372 63,1310659 62,5181076 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-16 7,678 7,668 8,2085 8,1387 63,024863 62,4075516 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-17 7,643 7,633 8,316 8,2432 63,559188 62,9203456 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-20 7,543 7,533 8,368 8,2958 63,119824 62,4922614 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-21 7,648 7,638 8,3152 8,2438 63,5946496 62,9661444 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-22 7,608 7,598 8,3529 8,2777 63,5488632 62,8939646 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-23 7,73 7,72 8,3435 8,2703 64,495255 63,846716 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-27 7,73 7,72 8,2721 8,1982 63,943333 63,290104 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-28 7,76 7,75 8,268 8,1954 64,15968 63,51435 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-29 7,833 7,823 8,2907 8,2165 64,9410531 64,2776795 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-06-30 7,823 7,813 8,3044 8,2301 64,9653212 64,3017713 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-01 7,858 7,848 8,288 8,2136 65,127104 64,4603328 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-04 7,945 7,935 8,2648 8,1921 65,663836 65,0043135 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-05 7,963 7,953 8,2665 8,193 65,8261395 65,158929 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-06 7,895 7,885 8,2874 8,2148 65,429023 64,773698 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-07 7,878 7,868 8,2343 8,1577 64,8698154 64,1847836 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-08 7,913 7,903 8,2398 8,1684 65,2015374 64,5548652 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-11 7,89 7,88 8,3067 8,2335 65,539863 64,87998 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-12 7,77 7,76 8,4014 8,3235 65,278878 64,59036 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-13 7,703 7,693 8,4266 8,3488 64,9100998 64,2273184 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-14 7,76 7,75 8,4049 8,3287 65,222024 64,547425 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-15 7,76 7,75 8,3796 8,3031 65,025696 64,349025 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-18 7,78 7,77 8,3831 8,3082 65,220518 64,554714 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-19 7,878 7,868 8,3399 8,2638 65,7017322 65,0195784 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-20 7,818 7,808 8,4229 8,3478 65,8502322 65,1796224 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-21 7,775 7,765 8,4643 8,3912 65,8099325 65,157668 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-22 7,758 7,748 8,4457 8,3706 65,5217406 64,8554088 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-25 7,838 7,828 8,4495 8,3782 66,227181 65,5845496 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-26 7,818 7,808 8,4216 8,3494 65,8400688 65,1921152 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-27 7,905 7,895 8,4496 8,3738 66,794088 66,111151 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-28 7,848 7,838 8,5272 8,4501 66,9214656 66,2318838 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-07-29 7,748 7,738 8,5616 8,4849 66,3352768 65,6561562 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-02 7,7 7,69 8,6147 8,5385 66,33319 65,661065 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-03 7,685 7,675 8,6756 8,5961 66,671986 65,9750675 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-04 7,618 7,608 8,6884 8,6093 66,1882312 65,4995544 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-05 7,548 7,538 8,6207 8,5414 65,0690436 64,3850732 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-08 7,558 7,548 8,6086 8,5275 65,0637988 64,36557 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-09 7,548 7,538 8,6176 8,5362 65,0456448 64,3458756 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-10 7,558 7,548 8,7051 8,6237 65,7931458 65,0916876 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-11 7,523 7,513 8,7737 8,6919 66,0045451 65,3022447 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-12 7,46 7,45 8,8327 8,7576 65,891942 65,24412 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-15 7,508 7,498 8,801 8,7171 66,077908 65,3608158 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-16 7,523 7,513 8,7901 8,7053 66,1279223 65,4029189 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-17 7,605 7,595 8,6723 8,5907 65,9528415 65,2463665 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-18 7,61 7,6 8,6275 8,5469 65,655275 64,95644 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-19 7,698 7,688 8,5827 8,5049 66,0696246 65,3856712 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-22 7,69 7,68 8,6627 8,5829 66,616163 65,916672 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-23 7,663 7,653 8,6721 8,5905 66,4543023 65,7430965 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-24 7,673 7,663 8,6202 8,5368 66,1427946 65,4174984 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-25 7,588 7,578 8,6284 8,5412 65,4722992 64,7252136 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-26 7,578 7,568 8,6624 8,5786 65,6436672 64,9228448 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-08-30 7,633 7,623 8,5796 8,4973 65,4880868 64,7749179 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-01 7,568 7,558 8,761 8,6764 66,303248 65,5762312 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-02 7,435 7,425 8,9267 8,8418 66,3700145 65,650365 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-05 7,41 7,4 8,9394 8,8431 66,240954 65,43894 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-06 7,485 7,475 8,8888 8,7952 66,532668 65,74412 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-07 7,43 7,42 8,9262 8,839 66,321666 65,58538 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-08 7,498 7,488 8,8982 8,8098 66,7187036 65,9677824 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-09 7,523 7,513 8,9177 8,8312 67,0878571 66,3488056 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-12 7,555 7,545 8,9882 8,9038 67,905851 67,179171 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-13 7,57 7,56 8,9528 8,8682 67,772696 67,043592 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-14 7,61 7,6 8,9483 8,8659 68,096563 67,38084 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-15 7,658 7,648 8,9907 8,8065 68,8507806 67,352112 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-16 7,613 7,603 9,025 8,9376 68,707325 67,9525728 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-19 7,698 7,688 9,0614 8,9711 69,7546572 68,9698168 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-20 7,688 7,678 9,1518 9,0665 70,3590384 69,612587 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-21 7,663 7,653 9,1338 9,0487 69,9923094 69,2497011 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-22 7,648 7,638 9,1242 9,04 69,7818816 69,04752 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-23 7,733 7,723 9,0889 9,0037 70,2844637 69,5355751 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-26 7,798 7,788 9,1078 9,0223 71,0226244 70,2656724 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-27 7,825 7,815 9,1186 9,0366 71,353045 70,621029 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-28 7,81 7,8 9,1401 9,0563 71,384181 70,63914 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-29 7,785 7,775 9,2462 9,1614 71,981667 71,229885 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-09-30 7,785 7,775 9,258 9,1707 72,07353 71,3021925 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-03 7,783 7,773 9,1806 9,0933 71,4526098 70,6822209 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-04 7,82 7,81 9,1961 9,11 71,913502 71,1491 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-05 7,795 7,785 9,1114 9,0249 71,023363 70,2588465 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-06 7,713 7,703 8,9577 8,8736 69,0907401 68,3533408 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-07 7,683 7,673 8,9781 8,8951 68,9787423 68,2521023 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-10 7,698 7,688 9,0188 8,9335 69,4267224 68,680748 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-11 7,77 7,76 9,0135 8,9311 70,034895 69,305336 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-12 7,805 7,795 8,9849 8,9016 70,1271445 69,387972 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-13 7,83 7,82 8,8971 8,8103 69,664293 68,896546 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-14 7,833 7,823 8,8187 8,7385 69,0768771 68,3612855 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-17 7,835 7,825 8,8629 8,7826 69,4408215 68,723845 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-18 7,893 7,883 8,8237 8,7444 69,6454641 68,9321052 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-19 7,96 7,95 8,7292 8,6485 69,484432 68,755575 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-20 7,93 7,92 8,8082 8,7261 69,849026 69,110712 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-21 7,883 7,873 8,7589 8,6804 69,0464087 68,3407892 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-24 7,995 7,985 8,7332 8,6537 69,821934 69,0997945 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-25 7,99 7,98 8,8556 8,7747 70,756244 70,022106 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-26 7,868 7,858 8,9436 8,8625 70,3682448 69,641525 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-27 7,868 7,858 8,9451 8,8615 70,3800468 69,633667 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-28 7,825 7,815 8,8533 8,7712 69,2770725 68,546928 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-10-31 7,905 7,895 9,0111 8,924 71,2327455 70,45498 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-01 7,963 7,953 9,1354 9,0517 72,7451902 71,9881701 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-02 7,98 7,97 9,1427 9,052 72,958746 72,14444 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-03 8,01 8 9,2146 9,1279 73,808946 73,0232 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-04 8,028 8,018 9,2678 9,1793 74,4018984 73,5996274 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-07 8,135 8,125 9,2119 9,1263 74,9388065 74,1511875 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-08 8,17 8,16 9,1793 9,0929 74,994881 74,198064 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-09 8,12 8,11 9,1598 9,0743 74,377576 73,592573 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-10 8,173 8,163 9,1634 9,0809 74,8924682 74,1273867 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-11 8,235 8,225 9,1832 9,1004 75,623652 74,85079 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-14 8,133 8,123 9,1753 9,092 74,6227149 73,854316 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-15 8,185 8,175 9,0934 9,0117 74,429479 73,6706475 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-16 8,21 8,2 9,1937 9,0481 75,480277 74,19442 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-17 8,258 8,248 9,2169 9,1374 76,1131602 75,3652752 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-18 8,223 8,213 9,2852 9,0269 76,3521996 74,1379297 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-21 8,123 8,113 9,3019 9,2224 75,5593337 74,8213312 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-22 8,15 8,14 9,3033 9,2222 75,821895 75,068708 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-23 8,048 8,038 9,3568 9,2772 75,3035264 74,5701336 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-24 8,053 8,043 9,3513 9,2689 75,3060189 74,5497627 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-25 8,078 8,068 9,3665 9,2856 75,662587 74,9162208 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-28 8,118 8,108 9,4111 9,3266 76,3993098 75,6200728 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-29 8,015 8,005 9,3384 9,2593 74,847276 74,1206965 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-11-30 8,088 8,078 9,3267 9,2462 75,4343496 74,6908036 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-01 8,083 8,073 9,3678 9,2943 75,7199274 75,0328839 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-02 8,103 8,093 9,5102 9,4247 77,0611506 76,2740971 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-05 8,045 8,035 9,5681 9,481 76,9753645 76,179835 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-06 7,993 7,983 9,5482 9,4618 76,3187626 75,5335494 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-07 8,015 8,005 9,5951 9,5095 76,9047265 76,1235475 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-08 7,988 7,978 9,5274 9,4388 76,1048712 75,3027464 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-12 7,953 7,943 9,6898 9,6069 77,0629794 76,3076067 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-13 7,905 7,895 9,7048 9,6204 76,716444 75,953058 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-14 7,848 7,838 9,718 9,6344 76,266864 75,5144272 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-15 7,858 7,848 9,6966 9,6133 76,1958828 75,4451784 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-16 7,903 7,893 9,6978 9,6149 76,6417134 75,8904057 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-19 7,865 7,855 9,6985 9,6146 76,2787025 75,522683 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-20 7,848 7,838 9,6832 9,5985 75,9937536 75,233043 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-21 7,948 7,938 9,7374 9,6526 77,3928552 76,6223388 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-22 7,98 7,97 9,7598 9,6759 77,883204 77,116923 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-23 7,955 7,945 9,822 9,7359 78,13401 77,3517255 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-29 7,938 7,928 9,8561 9,7703 78,2377218 77,4589384 733378 Ashburton Fund Managers Limited Ashburton Global Funds Dollar International Equity Fund PC USD 2005-12-30 7,958 7,948 9,837 9,751 78,282846 77,500948 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-04 6,728 6,718 1,0851 1,0838 7,3005528 7,2809684 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-05 6,828 6,818 1,0799 1,0787 7,3735572 7,3545766 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-07 6,87 6,86 1,0814 1,0803 7,429218 7,410858 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-10 6,96091 6,95091 1,0812 1,08 7,526135892 7,5069828 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-11 6,96091 6,95091 1,0828 1,0812 7,537273348 7,515323892 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-12 6,913 6,903 1,0839 1,0818 7,4930007 7,4676654 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-13 6,843 6,833 1,0864 1,0848 7,4342352 7,4124384 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-14 6,915 6,905 1,0864 1,0849 7,512456 7,4912345 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-17 6,915 6,905 1,0869 1,0853 7,5159135 7,4939965 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-18 6,968 6,958 1,0855 1,0843 7,563764 7,5445594 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-19 6,91 6,9 1,0878 1,0869 7,516698 7,49961 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-20 6,96 6,95 1,085 1,0837 7,5516 7,531715 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-21 6,978 6,968 1,0853 1,084 7,5732234 7,553312 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-24 6,933 6,923 1,089 1,0877 7,550037 7,5301471 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-25 6,95 6,94 1,0882 1,0869 7,56299 7,543086 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-26 6,995 6,985 1,0866 1,0852 7,600767 7,580122 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-27 6,93 6,92 1,0881 1,0868 7,540533 7,520656 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-28 6,985 6,975 1,0873 1,0861 7,5947905 7,5755475 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-01-31 6,998 6,988 1,085 1,0837 7,59283 7,5728956 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-01 6,993 6,983 1,086 1,0847 7,594398 7,5744601 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-02 6,953 6,943 1,0878 1,0865 7,5634734 7,5435695 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-03 6,968 6,958 1,0852 1,0839 7,5616736 7,5417762 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-04 7,01 7 1,0838 1,0826 7,597438 7,5782 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-07 7,065 7,055 1,0758 1,0746 7,600527 7,581303 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-08 7,123 7,113 1,0761 1,0742 7,6650603 7,6407846 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-09 7,1 7,09 1,0774 1,0755 7,64954 7,625295 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-10 7,088 7,078 1,0792 1,0771 7,6493696 7,6237138 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-11 7,068 7,058 1,081 1,079 7,640508 7,615582 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-14 7,03 7,02 1,0859 1,0839 7,633877 7,608978 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-15 7,005 6,995 1,0871 1,0851 7,6151355 7,5902745 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-16 6,973 6,963 1,0881 1,086 7,5873213 7,561818 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-17 6,97 6,96 1,0862 1,0842 7,570814 7,546032 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-18 6,965 6,955 1,0864 1,0844 7,566776 7,542002 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-21 6,978 6,968 1,0856 1,0836 7,5753168 7,5505248 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-22 6,905 6,895 1,0927 1,0907 7,5450935 7,5203765 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-23 6,895 6,885 1,0921 1,0901 7,5300295 7,5053385 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-24 6,858 6,848 1,0934 1,0914 7,4985372 7,4739072 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-25 6,885 6,875 1,0904 1,0892 7,507404 7,48825 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-02-28 6,828 6,818 1,0947 1,0928 7,4746116 7,4507104 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-01 6,87 6,86 1,0928 1,091 7,507536 7,48426 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-02 6,888 6,878 1,0896 1,0881 7,5051648 7,4839518 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-03 6,903 6,893 1,0912 1,0896 7,5325536 7,5106128 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-04 6,9 6,89 1,0898 1,0882 7,51962 7,497698 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-07 6,84 6,83 1,0917 1,0907 7,467228 7,449481 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-08 6,825 6,815 1,0927 1,0916 7,4576775 7,439254 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-09 6,76 6,75 1,097 1,0959 7,41572 7,397325 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-10 6,745 6,735 1,0967 1,0955 7,3972415 7,3781925 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-11 6,765 6,755 1,0964 1,0953 7,417146 7,3987515 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-14 6,76 6,75 1,093 1,0919 7,38868 7,370325 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-15 6,815 6,805 1,0943 1,0932 7,4576545 7,439226 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-16 6,81 6,8 1,0951 1,0938 7,457631 7,43784 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-18 6,828 6,818 1,0951 1,0939 7,4773428 7,4582102 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-21 6,908 6,898 1,092 1,0907 7,543536 7,5236486 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-22 6,928 6,918 1,0934 1,0921 7,5750752 7,5551478 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-23 6,973 6,963 1,0878 1,0866 7,5852294 7,5659958 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-24 7,008 6,998 1,0864 1,0852 7,6134912 7,5942296 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-29 7,055 7,045 1,0831 1,0822 7,6412705 7,624099 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-30 7,053 7,043 1,0849 1,0839 7,6517997 7,6339077 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-03-31 7,065 7,055 1,0863 1,0851 7,6747095 7,6553805 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-01 7,07 7,06 1,0885 1,0871 7,695695 7,674926 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-04 7,113 7,103 1,0872 1,0862 7,7332536 7,7152786 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-05 7,163 7,153 1,0827 1,0813 7,7553801 7,7345389 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-06 7,125 7,115 1,0856 1,0844 7,7349 7,715506 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-07 7,083 7,073 1,0878 1,0865 7,7048874 7,6848145 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-08 7,153 7,143 1,0834 1,0821 7,7495602 7,7294403 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-11 7,098 7,088 1,0878 1,0864 7,7212044 7,7004032 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-12 7,048 7,038 1,0901 1,0888 7,6830248 7,6629744 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-13 7,075 7,065 1,0925 1,0912 7,7294375 7,709328 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-14 7,12 7,11 1,0903 1,089 7,762936 7,74279 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-15 7,17 7,16 1,0906 1,0893 7,819602 7,799388 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-18 7,08 7,07 1,0975 1,0962 7,7703 7,750134 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-19 7,068 7,058 1,0945 1,0929 7,735926 7,7136882 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-20 7,043 7,033 1,098 1,0968 7,733214 7,7137944 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-21 7,025 7,015 1,0987 1,0974 7,7183675 7,698261 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-22 7,023 7,013 1,099 1,0977 7,718277 7,6981701 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-25 7,04 7,03 1,099 1,0978 7,73696 7,717534 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-26 7,035 7,025 1,0999 1,0986 7,7377965 7,717665 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-27 7,085 7,075 1,0972 1,0959 7,773662 7,7534925 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-28 7,085 7,075 1,0991 1,0978 7,7871235 7,766935 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-04-29 7,08 7,07 1,1012 1,0999 7,796496 7,776293 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-03 7,178 7,168 1,0988 1,0975 7,8871864 7,86688 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-04 7,11 7,1 1,102 1,1007 7,83522 7,81497 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-06 7,085 7,075 1,1034 1,1021 7,817589 7,7973575 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-10 7,178 7,168 1,0957 1,0944 7,8649346 7,8446592 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-11 7,15 7,14 1,0984 1,0971 7,85356 7,833294 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-12 7,243 7,233 1,0937 1,0925 7,9216691 7,9020525 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-13 7,265 7,255 1,0909 1,0897 7,9253885 7,9057735 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-16 7,32 7,31 1,0884 1,0871 7,967088 7,946701 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-17 7,313 7,303 1,0908 1,0895 7,9770204 7,9566185 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-18 7,3 7,29 1,0897 1,0885 7,95481 7,935165 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-19 7,26 7,25 1,092 1,0908 7,92792 7,9083 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-20 7,28 7,27 1,0903 1,089 7,937384 7,91703 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-23 7,32 7,31 1,0876 1,0863 7,961232 7,940853 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-24 7,295 7,285 1,0904 1,0891 7,954468 7,9340935 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-25 7,298 7,288 1,091 1,089 7,962118 7,936632 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-26 7,33 7,32 1,0875 1,0861 7,971375 7,950252 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-27 7,338 7,328 1,0868 1,0854 7,9749384 7,9538112 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-05-31 7,403 7,393 1,0833 1,082 8,0196699 7,999226 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-01 7,428 7,418 1,0835 1,0822 8,048238 8,0277596 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-02 7,473 7,463 1,0864 1,0851 8,1186672 8,0981013 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-03 7,438 7,428 1,0873 1,086 8,0873374 8,066808 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-07 7,448 7,438 1,0895 1,0882 8,114596 8,0940316 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-08 7,435 7,425 1,089 1,0878 8,096715 8,076915 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-09 7,523 7,513 1,0827 1,0814 8,1451521 8,1245582 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-10 7,525 7,515 1,0807 1,0794 8,1322675 8,111691 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-13 7,643 7,633 1,0704 1,0691 8,1810672 8,1604403 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-14 7,663 7,653 1,0701 1,0688 8,2001763 8,1795264 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-15 7,693 7,683 1,0675 1,0661 8,2122775 8,1908463 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-16 7,678 7,668 1,0674 1,066 8,1954972 8,174088 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-17 7,643 7,633 1,0734 1,0719 8,2039962 8,1818127 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-20 7,543 7,533 1,0788 1,0773 8,1373884 8,1153009 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-21 7,648 7,638 1,0711 1,0696 8,1917728 8,1696048 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-22 7,608 7,598 1,0783 1,0769 8,2037064 8,1822862 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-23 7,73 7,72 1,071 1,0697 8,27883 8,258084 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-27 7,73 7,72 1,0743 1,0729 8,304339 8,282788 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-28 7,76 7,75 1,0722 1,0708 8,320272 8,2987 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-29 7,833 7,823 1,0673 1,0659 8,3601609 8,3385357 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-06-30 7,823 7,813 1,0676 1,0663 8,3518348 8,3310019 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-01 7,858 7,848 1,0599 1,0586 8,3286942 8,3078928 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-04 7,945 7,935 1,052 1,0507 8,35814 8,3373045 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-05 7,963 7,953 1,0512 1,0499 8,3707056 8,3498547 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-06 7,895 7,885 1,0525 1,0512 8,3094875 8,288712 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-07 7,878 7,868 1,0542 1,0529 8,3049876 8,2842172 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-08 7,913 7,903 1,0512 1,05 8,3181456 8,29815 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-11 7,89 7,88 1,0517 1,0504 8,297913 8,277152 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-12 7,77 7,76 1,0589 1,0575 8,227653 8,2062 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-13 7,703 7,693 1,0595 1,0581 8,1613285 8,1399633 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-14 7,76 7,75 1,0553 1,0539 8,189128 8,167725 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-15 7,76 7,75 1,0522 1,0508 8,165072 8,1437 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-18 7,78 7,77 1,0498 1,0484 8,167444 8,146068 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-19 7,878 7,868 1,0442 1,0428 8,2262076 8,2047504 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-20 7,818 7,808 1,0483 1,0468 8,1956094 8,1734144 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-21 7,775 7,765 1,0509 1,0495 8,1707475 8,1493675 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-22 7,758 7,748 1,0526 1,0511 8,1660708 8,1439228 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-25 7,838 7,828 1,0513 1,0499 8,2400894 8,2186172 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-26 7,818 7,808 1,0474 1,046 8,1885732 8,167168 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-27 7,905 7,895 1,0461 1,0447 8,2694205 8,2479065 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-28 7,848 7,838 1,0492 1,0478 8,2341216 8,2126564 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-07-29 7,748 7,738 1,0522 1,0507 8,1524456 8,1303166 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-02 7,7 7,69 1,0547 1,0533 8,12119 8,099877 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-03 7,685 7,675 1,0554 1,0539 8,110749 8,0886825 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-04 7,618 7,608 1,059 1,0575 8,067462 8,04546 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-05 7,548 7,538 1,0613 1,0598 8,0106924 7,9887724 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-08 7,558 7,548 1,0574 1,0559 7,9918292 7,9699332 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-09 7,548 7,538 1,0567 1,0552 7,9759716 7,9540976 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-10 7,558 7,548 1,0588 1,0573 8,0024104 7,9805004 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-11 7,523 7,513 1,0601 1,0586 7,9751323 7,9532618 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-12 7,46 7,45 1,0675 1,066 7,96355 7,9417 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-15 7,508 7,498 1,0664 1,0649 8,0065312 7,9846202 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-16 7,523 7,513 1,0659 1,0643 8,0187657 7,9960859 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-17 7,605 7,595 1,0642 1,0626 8,093241 8,070447 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-18 7,61 7,6 1,0636 1,0621 8,093996 8,07196 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-19 7,698 7,688 1,0591 1,0575 8,1529518 8,13006 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-22 7,69 7,68 1,0608 1,0593 8,157552 8,135424 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-23 7,663 7,653 1,0625 1,061 8,1419375 8,119833 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-24 7,673 7,663 1,0623 1,0608 8,1510279 8,1289104 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-25 7,588 7,578 1,0681 1,0665 8,1047428 8,081937 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-26 7,578 7,568 1,0689 1,0674 8,1001242 8,0780832 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-08-30 7,633 7,623 1,0636 1,0621 8,1184588 8,0963883 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-01 7,568 7,558 1,0745 1,0729 8,131816 8,1089782 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-02 7,435 7,425 1,0867 1,0852 8,0796145 8,05761 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-05 7,41 7,4 1,0867 1,0851 8,052447 8,02974 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-06 7,485 7,475 1,0821 1,0802 8,0995185 8,074495 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-07 7,43 7,42 1,0792 1,0774 8,018456 7,994308 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-08 7,498 7,488 1,0764 1,0745 8,0708472 8,045856 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-09 7,523 7,513 1,0765 1,0746 8,0985095 8,0734698 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-12 7,555 7,545 1,0784 1,0766 8,147312 8,122947 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-13 7,57 7,56 1,073 1,0711 8,12261 8,097516 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-14 7,61 7,6 1,0763 1,0744 8,190643 8,16544 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-15 7,658 7,648 1,0741 1,0722 8,2254578 8,2001856 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-16 7,613 7,603 1,0731 1,0713 8,1695103 8,1450939 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-19 7,698 7,688 1,069 1,0672 8,229162 8,2046336 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-20 7,688 7,678 1,0714 1,0696 8,2369232 8,2123888 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-21 7,663 7,653 1,0729 1,0711 8,2216327 8,1971283 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-22 7,648 7,638 1,075 1,0731 8,2216 8,1963378 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-23 7,733 7,723 1,0716 1,0696 8,2866828 8,2605208 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-26 7,798 7,788 1,0642 1,0622 8,2986316 8,2724136 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-27 7,825 7,815 1,0612 1,0592 8,30389 8,277648 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-28 7,81 7,8 1,0606 1,0587 8,283286 8,25786 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-29 7,785 7,775 1,0673 1,0654 8,3089305 8,283485 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-09-30 7,785 7,775 1,0662 1,0641 8,300367 8,2733775 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-03 7,783 7,773 1,0479 1,0458 8,1558057 8,1290034 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-04 7,82 7,81 1,044 1,042 8,16408 8,13802 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-05 7,795 7,785 1,0472 1,0452 8,162924 8,136882 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-06 7,713 7,703 1,0483 1,0462 8,0855379 8,0588786 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-07 7,683 7,673 1,0473 1,0453 8,0464059 8,0205869 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-10 7,698 7,688 1,0462 1,044 8,0536476 8,026272 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-11 7,77 7,76 1,0444 1,0422 8,114988 8,087472 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-12 7,805 7,795 1,0416 1,0394 8,129688 8,102123 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-13 7,83 7,82 1,0375 1,0352 8,123625 8,095264 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-14 7,833 7,823 1,0368 1,0346 8,1212544 8,0936758 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-17 7,835 7,825 1,0373 1,0351 8,1272455 8,0996575 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-18 7,893 7,883 1,0326 1,0304 8,1503118 8,1226432 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-19 7,96 7,95 1,0336 1,0315 8,227456 8,200425 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-20 7,93 7,92 1,0346 1,0324 8,204378 8,176608 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-21 7,883 7,873 1,0369 1,0347 8,1738827 8,1461931 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-24 7,995 7,985 1,0354 1,0332 8,278023 8,250102 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-25 7,99 7,98 1,0364 1,0342 8,280836 8,252916 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-26 7,868 7,858 1,0343 1,0325 8,1378724 8,113385 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-27 7,868 7,858 1,034 1,0321 8,135512 8,1102418 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-28 7,825 7,815 1,0357 1,0338 8,1043525 8,079147 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-10-31 7,905 7,895 1,03 1,028 8,14215 8,11606 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-01 7,963 7,953 1,0303 1,0282 8,2042789 8,1772746 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-02 7,98 7,97 1,0267 1,0246 8,193066 8,166062 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-03 8,01 8 1,0259 1,0238 8,217459 8,1904 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-04 8,028 8,018 1,0193 1,0171 8,1829404 8,1551078 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-07 8,135 8,125 1,0157 1,0135 8,2627195 8,2346875 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-08 8,17 8,16 1,0168 1,0147 8,307256 8,279952 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-09 8,12 8,11 1,0219 1,0193 8,297828 8,266523 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-10 8,173 8,163 1,0177 1,0155 8,3176621 8,2895265 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-11 8,235 8,225 1,0194 1,0173 8,394759 8,3672925 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-14 8,133 8,123 1,0219 1,0194 8,3111127 8,2805862 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-15 8,185 8,175 1,017 1,0149 8,324145 8,2968075 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-16 8,21 8,2 1,0174 1,0153 8,352854 8,32546 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-17 8,258 8,248 1,0213 1,019 8,4338954 8,404712 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-18 8,223 8,213 1,0217 1,0198 8,4014391 8,3756174 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-21 8,123 8,113 1,0241 1,0218 8,3187643 8,2898634 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-22 8,15 8,14 1,0203 1,0188 8,315445 8,293032 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-23 8,048 8,038 1,0268 1,0254 8,2636864 8,2421652 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-24 8,053 8,043 1,0257 1,0243 8,2599621 8,2384449 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-25 8,078 8,068 1,0266 1,0251 8,2928748 8,2705068 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-28 8,118 8,108 1,0251 1,0238 8,3217618 8,3009704 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-29 8,015 8,005 1,0294 1,028 8,250641 8,22914 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-11-30 8,088 8,078 1,026 1,0246 8,298288 8,2767188 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-01 8,083 8,073 1,0242 1,0229 8,2786086 8,2578717 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-02 8,103 8,093 1,0235 1,0221 8,2934205 8,2718553 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-05 8,045 8,035 1,0229 1,0215 8,2292305 8,2077525 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-06 7,993 7,983 1,0243 1,0229 8,1872299 8,1658107 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-07 8,015 8,005 1,0239 1,0226 8,2065585 8,185913 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-08 7,988 7,978 1,024 1,0226 8,179712 8,1583028 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-12 7,953 7,943 1,025 1,0234 8,151825 8,1288662 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-13 7,905 7,895 1,0274 1,0258 8,121597 8,098691 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-14 7,848 7,838 1,0333 1,0317 8,1093384 8,0864646 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-15 7,858 7,848 1,0386 1,037 8,1613188 8,138376 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-16 7,903 7,893 1,0364 1,035 8,1906692 8,169255 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-19 7,865 7,855 1,0378 1,0364 8,162297 8,140922 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-20 7,848 7,838 1,0351 1,0345 8,1234648 8,108411 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-21 7,948 7,938 1,031 1,0296 8,194388 8,1729648 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-22 7,98 7,97 1,0299 1,0287 8,218602 8,198739 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-23 7,955 7,945 1,0322 1,0309 8,211151 8,1905005 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-29 7,938 7,928 1,0302 1,0288 8,1777276 8,1563264 805036 Ashburton Fund Managers Limited Ashburton Global Funds Dollar Managed Income Fund PC USD 2005-12-30 7,958 7,948 1,0314 1,03 8,2078812 8,18644 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-04 9,0345 9,0295 0,9675 0,9628 8,74087875 8,6936026 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-05 9,0615 9,0565 0,9646 0,9599 8,7407229 8,69333435 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-07 9,0615 9,0565 0,9671 0,9624 8,76337665 8,7159756 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-10 9,08619 9,08119 0,9714 0,9664 8,826324966 8,776062016 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-11 9,08619 9,08119 0,9722 0,9673 8,833593918 8,784235087 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-12 9,0455 9,0405 0,9755 0,9703 8,82388525 8,77199715 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-13 9,0505 9,0455 0,9727 0,9676 8,80342135 8,7524258 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-14 9,0455 9,0405 0,9782 0,9731 8,8483081 8,79731055 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-17 9,0685 9,0635 0,9826 0,9774 8,9107081 8,8586649 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-18 9,0585 9,0535 0,9816 0,9766 8,8918236 8,8416481 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-19 9,0225 9,0175 0,983 0,9782 8,8691175 8,8209185 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-20 9,0315 9,0265 0,9814 0,9762 8,8635141 8,8116693 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-21 9,0505 9,0455 0,9799 0,9748 8,86858495 8,8175534 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-24 9,0655 9,0605 0,9833 0,9784 8,91410615 8,8647932 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-25 9,0715 9,0665 0,9836 0,9785 8,9227274 8,87157025 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-26 9,0885 9,0835 0,9854 0,9803 8,9558079 8,90455505 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-27 9,0675 9,0625 0,9856 0,9807 8,936928 8,88759375 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-28 9,0955 9,0905 0,9843 0,9792 8,95270065 8,9014176 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-01-31 9,1075 9,1025 0,9875 0,9829 8,99365625 8,94684725 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-01 9,1035 9,0985 0,9879 0,9834 8,99334765 8,9474649 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-02 9,0905 9,0855 0,9888 0,9843 8,9886864 8,94285765 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-03 9,0695 9,0645 0,9881 0,9833 8,96157295 8,91312285 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-04 9,0895 9,0845 0,9887 0,9837 8,98678865 8,93642265 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-07 9,0755 9,0705 0,9916 0,9865 8,9992658 8,94804825 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-08 9,0895 9,0845 0,9928 0,9874 9,0240556 8,9700353 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-09 9,0695 9,0645 0,9935 0,9881 9,01054825 8,95663245 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-10 9,0805 9,0755 0,9947 0,9893 9,03237335 8,97839215 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-11 9,0935 9,0885 0,9954 0,9901 9,0516699 8,99852385 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-14 9,1105 9,1055 0,9991 0,9939 9,10230055 9,04995645 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-15 9,0765 9,0715 1,0008 0,9956 9,0837612 9,0315854 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-16 9,0705 9,0655 0,9981 0,9929 9,05326605 9,00113495 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-17 9,0925 9,0875 0,9961 0,9909 9,05703925 9,00480375 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-18 9,0945 9,0895 0,9968 0,9916 9,0653976 9,0131482 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-21 9,1185 9,1135 0,9955 0,9902 9,07746675 9,0241877 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-22 9,0975 9,0925 0,994 0,9888 9,042915 8,990664 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-23 9,1045 9,0995 0,9904 0,9852 9,0170968 8,9648274 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-24 9,0715 9,0665 0,9924 0,9873 9,0025566 8,95135545 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-25 9,0845 9,0795 0,9958 0,9912 9,0463451 8,9996004 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-02-28 9,0505 9,0455 1,0003 0,9953 9,05321515 9,00298615 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-01 9,0565 9,0515 1,0013 0,9964 9,06827345 9,0189146 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-02 9,0645 9,0595 1,0023 0,9974 9,08534835 9,0359453 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-03 9,0675 9,0625 1,0029 0,9981 9,09379575 9,04528125 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-04 9,0415 9,0365 1,0027 0,9979 9,06591205 9,01752335 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-07 9,0425 9,0375 1,0048 0,9999 9,085904 9,03659625 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-08 9,0345 9,0295 1,0037 0,9987 9,06792765 9,01776165 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-09 9,0365 9,0315 1,0056 1,0006 9,0871044 9,0369189 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-10 9,0655 9,0605 1,0022 0,9971 9,0854441 9,03422455 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-11 9,0795 9,0745 1,0017 0,9968 9,09493515 9,0454616 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-14 9,0695 9,0645 0,9995 0,9947 9,06496525 9,01645815 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-15 9,1035 9,0985 0,9991 0,9942 9,09530685 9,0457287 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-16 9,0975 9,0925 1,0004 0,9955 9,101139 9,05158375 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-18 9,1035 9,0985 0,9928 0,9877 9,0379548 8,98658845 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-21 9,1265 9,1215 1,003 0,9977 9,1538795 9,10052055 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-22 9,1265 9,1215 1,0032 0,998 9,1557048 9,103257 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-23 9,1165 9,1115 1,0007 0,9955 9,12288155 9,07049825 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-24 9,1135 9,1085 0,9961 0,9909 9,07795735 9,02561265 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-29 9,1315 9,1265 0,9936 0,9887 9,0730584 9,02337055 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-30 9,1425 9,1375 0,9896 0,9847 9,047418 8,99769625 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-03-31 9,1405 9,1355 0,9955 0,9904 9,09936775 9,0477992 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-01 9,1645 9,1595 0,999 0,994 9,1553355 9,104543 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-04 9,1695 9,1645 0,998 0,9932 9,151161 9,1021814 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-05 9,1745 9,1695 1 0,9951 9,1745 9,12456945 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-06 9,1705 9,1655 1,0007 0,9958 9,17691935 9,1270049 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-07 9,1505 9,1455 1,0012 0,9963 9,1614806 9,11166165 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-08 9,1625 9,1575 1,0027 0,9978 9,18723875 9,1373535 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-11 9,1705 9,1655 0,9972 0,9923 9,1448226 9,09492565 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-12 9,1525 9,1475 0,9965 0,9917 9,12046625 9,07157575 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-13 9,1495 9,1445 0,9998 0,9948 9,1476701 9,0969486 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-14 9,1685 9,1635 0,996 0,991 9,131826 9,0810285 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-15 9,1925 9,1875 0,9882 0,9833 9,0840285 9,03406875 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-18 9,1805 9,1755 0,9755 0,9708 8,95557775 8,9075754 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-19 9,2035 9,1985 0,9791 0,9744 9,01114685 8,9630184 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-20 9,1915 9,1865 0,9823 0,9775 9,02881045 8,97980375 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-21 9,1855 9,1805 0,9784 0,9738 8,9870932 8,9399709 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-22 9,1625 9,1575 0,9825 0,9777 9,00215625 8,95328775 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-25 9,1685 9,1635 0,9851 0,9802 9,03188935 8,9820627 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-26 9,1375 9,1325 0,9853 0,9806 9,00317875 8,9553295 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-27 9,1465 9,1415 0,9824 0,9775 8,9855216 8,93581625 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-28 9,1505 9,1455 0,9816 0,9767 8,9821308 8,93240985 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-04-29 9,1705 9,1655 0,9809 0,976 8,99534345 8,945528 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-03 9,2245 9,2195 0,9856 0,9806 9,0916672 9,0406417 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-04 9,1915 9,1865 0,9859 0,9808 9,06189985 9,0101192 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-06 9,1715 9,1665 0,9919 0,9869 9,09721085 9,04641885 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-10 9,1985 9,1935 0,9908 0,9858 9,1138738 9,0629523 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-11 9,2105 9,2055 0,9885 0,9835 9,10457925 9,05360925 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-12 9,2315 9,2265 0,9874 0,9825 9,1151831 9,06503625 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-13 9,2045 9,1995 0,9839 0,9791 9,05630755 9,00723045 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-16 9,2145 9,2095 0,9791 0,9743 9,02191695 8,97281585 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-17 9,2325 9,2275 0,9757 0,971 9,00815025 8,9599025 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-18 9,2095 9,2045 0,9782 0,9733 9,0087329 8,95873985 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-19 9,1905 9,1855 0,9856 0,9806 9,0581568 9,0073013 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-20 9,1955 9,1905 0,9852 0,9803 9,0594066 9,00944715 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-23 9,1805 9,1755 0,9872 0,9823 9,0629896 9,01309365 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-24 9,1815 9,1765 0,9897 0,9848 9,08693055 9,0370172 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-25 9,1785 9,1735 0,989 0,9835 9,0775365 9,02213725 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-26 9,1945 9,1895 0,9879 0,983 9,08324655 9,0332785 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-27 9,1955 9,1905 0,9914 0,9863 9,1164187 9,06459015 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-05-31 9,1665 9,1615 0,9992 0,9941 9,1591668 9,10744715 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-01 9,1455 9,1405 1,0025 0,997 9,16836375 9,1130785 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-02 9,1565 9,1515 1,0065 1,0015 9,21601725 9,16522725 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-03 9,1315 9,1265 1,0082 1,0031 9,2063783 9,15479215 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-07 9,1455 9,1405 1,0105 1,0052 9,24152775 9,1880306 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-08 9,1455 9,1405 1,0114 1,0057 9,2497587 9,19260085 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-09 9,1965 9,1915 1,0082 1,0028 9,2719113 9,2172362 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-10 9,1975 9,1925 1,0114 1,006 9,3023515 9,247655 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-13 9,2365 9,2315 1,0113 1,0059 9,34087245 9,28596585 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-14 9,2985 9,2935 1,0089 1,0035 9,38125665 9,32602725 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-15 9,2695 9,2645 1,0125 1,0072 9,38536875 9,3312044 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-16 9,2695 9,2645 1,0112 1,0059 9,3733184 9,31916055 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-17 9,2695 9,2645 1,019 1,0136 9,4456205 9,3904972 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-20 9,2255 9,2205 1,0198 1,0147 9,4081649 9,35604135 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-21 9,2725 9,2675 1,0191 1,0139 9,44960475 9,39631825 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-22 9,2615 9,2565 1,0212 1,0159 9,4578438 9,40367835 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-23 9,3535 9,3485 1,0207 1,0155 9,54711745 9,49340175 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-27 9,3855 9,3805 1,0165 1,0112 9,54036075 9,4855616 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-28 9,3995 9,3945 1,0176 1,0125 9,5649312 9,51193125 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-29 9,4215 9,4165 1,0172 1,0121 9,5835498 9,53043965 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-06-30 9,4415 9,4365 1,0188 1,0136 9,6190002 9,5648364 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-01 9,4595 9,4545 1,0174 1,0121 9,6240953 9,56889945 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-04 9,4795 9,4745 1,0193 1,0141 9,66245435 9,60809045 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-05 9,4575 9,4525 1,0195 1,0143 9,64192125 9,58767075 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-06 9,4195 9,4145 1,0196 1,0144 9,6041222 9,5500688 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-07 9,3965 9,3915 1,0189 1,0134 9,57409385 9,5173461 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-08 9,4175 9,4125 1,0187 1,0137 9,59360725 9,54145125 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-11 9,4665 9,4615 1,0178 1,0126 9,6350037 9,5807149 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-12 9,4645 9,4595 1,0179 1,0128 9,63391455 9,5805816 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-13 9,3915 9,3865 1,0182 1,013 9,5624253 9,5085245 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-14 9,3675 9,3625 1,0193 1,0143 9,54829275 9,49638375 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management 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9,5638375 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-26 9,4155 9,4105 1,0193 1,0142 9,59721915 9,5441291 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-27 9,4725 9,4675 1,0195 1,0143 9,65721375 9,60288525 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-28 9,4515 9,4465 1,0207 1,0154 9,64714605 9,5919761 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-07-29 9,3885 9,3835 1,0246 1,0193 9,6194571 9,56460155 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-02 9,3995 9,3945 1,0241 1,0192 9,62602795 9,5748744 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-03 9,3755 9,3705 1,024 1,0186 9,600512 9,5447913 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-04 9,3735 9,3685 1,025 1,0197 9,6078375 9,55305945 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-05 9,3355 9,3305 1,0205 1,0154 9,52687775 9,4741897 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-08 9,3335 9,3285 1,0194 1,0143 9,5145699 9,46189755 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-09 9,3455 9,3405 1,0195 1,0146 9,52773725 9,4768713 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-10 9,3535 9,3485 1,0248 1,0197 9,5854668 9,53266545 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-11 9,3365 9,3315 1,032 1,0267 9,635268 9,58065105 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-12 9,3025 9,2975 1,0369 1,0319 9,64576225 9,59409025 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-15 9,3065 9,3015 1,0403 1,0353 9,68155195 9,62984295 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-16 9,2995 9,2945 1,0401 1,0351 9,67240995 9,62073695 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-17 9,3405 9,3355 1,0383 1,0333 9,69824115 9,64637215 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-18 9,3365 9,3315 1,0354 1,0301 9,6670121 9,61237815 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-19 9,3395 9,3345 1,0357 1,0308 9,67292015 9,6220026 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-22 9,3655 9,3605 1,0423 1,0371 9,76166065 9,70777455 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-23 9,3715 9,3665 1,0403 1,035 9,74917145 9,6943275 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-24 9,3365 9,3315 1,0406 1,0356 9,7155619 9,6637014 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-25 9,3335 9,3285 1,0374 1,0324 9,6825729 9,6307434 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-26 9,3415 9,3365 1,0383 1,0331 9,69927945 9,64553815 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-08-30 9,3285 9,3235 1,0383 1,0331 9,68578155 9,63210785 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-01 9,3365 9,3315 1,0426 1,0375 9,7342349 9,68143125 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management 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9,7910738 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-13 9,3015 9,2965 1,0576 1,0522 9,8372664 9,7817773 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-14 9,3365 9,3315 1,0572 1,0522 9,8705478 9,8186043 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-15 9,3425 9,3375 1,0621 1,057 9,92266925 9,8697375 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-16 9,3465 9,3415 1,0613 1,0562 9,91944045 9,8664923 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-19 9,3355 9,3305 1,0653 1,06 9,94510815 9,89033 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-20 9,3395 9,3345 1,0731 1,0677 10,02221745 9,96644565 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-21 9,3405 9,3355 1,0681 1,0627 9,97658805 9,92083585 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-22 9,3405 9,3355 1,0725 1,0671 10,01768625 9,96191205 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-23 9,3695 9,3645 1,0719 1,0664 10,04316705 9,9863028 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-26 9,3815 9,3765 1,0729 1,0676 10,06541135 10,0103514 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-27 9,3885 9,3835 1,0746 1,069 10,0888821 10,0309615 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-28 9,3935 9,3885 1,079 1,0734 10,1355865 10,0776159 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-29 9,3845 9,3795 1,0882 1,0827 10,2122129 10,15518465 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-09-30 9,3435 9,3385 1,0888 1,0831 10,1732028 10,11452935 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-03 9,3025 9,2975 1,0835 1,0776 10,07925875 10,018986 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-04 9,3185 9,3135 1,0834 1,0775 10,0956629 10,03529625 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-05 9,3105 9,3055 1,0779 1,0722 10,03578795 9,9773571 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-06 9,3015 9,2965 1,0648 1,0591 9,9042372 9,84592315 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-07 9,3385 9,3335 1,0629 1,0576 9,92589165 9,8711096 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-10 9,3465 9,3415 1,0657 1,0601 9,96056505 9,90292415 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-11 9,3395 9,3345 1,0729 1,0672 10,02034955 9,9617784 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-12 9,3375 9,3325 1,0724 1,0669 10,013535 9,95684425 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-13 9,3815 9,3765 1,0674 1,0616 10,0138131 9,9540924 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-14 9,4135 9,4085 1,0608 1,0549 9,9858408 9,92502665 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-17 9,4575 9,4525 1,0573 1,0516 9,99941475 9,940249 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-18 9,4625 9,4575 1,0623 1,0567 10,05201375 9,99374025 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-19 9,4605 9,4555 1,0567 1,051 9,99691035 9,9377305 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-20 9,4935 9,4885 1,0541 1,0484 10,00709835 9,9477434 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-21 9,4915 9,4865 1,0525 1,0468 9,98980375 9,9304682 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-24 9,5455 9,5405 1,0544 1,0488 10,0647752 10,0060764 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-25 9,5465 9,5415 1,057 1,0517 10,0906505 10,03479555 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-26 9,4975 9,4925 1,0593 1,0535 10,06070175 10,00034875 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-27 9,5355 9,5305 1,0587 1,0532 10,09523385 10,0375226 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-28 9,5135 9,5085 1,0564 1,051 10,0500614 9,9934335 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-10-31 9,5495 9,5445 1,0631 1,0573 10,15207345 10,09139985 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-01 9,5495 9,5445 1,0717 1,0658 10,23419915 10,1725281 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-02 9,5855 9,5805 1,0721 1,066 10,27661455 10,212813 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-03 9,6515 9,6465 1,0726 1,0667 10,3521989 10,28992155 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-04 9,5875 9,5825 1,0776 1,0716 10,33149 10,268607 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-07 9,6075 9,6025 1,0782 1,0723 10,3588065 10,29676075 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-08 9,5685 9,5635 1,0812 1,0752 10,3454622 10,2826752 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-09 9,5575 9,5525 1,0809 1,0748 10,33070175 10,267027 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-10 9,6105 9,6055 1,0783 1,0722 10,36300215 10,2990171 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-11 9,6365 9,6315 1,0824 1,0767 10,4305476 10,37023605 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-14 9,5505 9,5455 1,0818 1,0759 10,3317309 10,27000345 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-15 9,5805 9,5755 1,0779 1,0719 10,32682095 10,26397845 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-16 9,6235 9,6185 1,0772 1,0713 10,3664342 10,30429905 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-17 9,6355 9,6305 1,0893 1,0831 10,49595015 10,43079455 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-18 9,6085 9,6035 1,0934 1,0875 10,5059339 10,44380625 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-21 9,5915 9,5865 1,0894 1,0833 10,4489801 10,38505545 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-22 9,5585 9,5535 1,0927 1,0871 10,44457295 10,38560985 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-23 9,5155 9,5105 1,0959 1,0897 10,42803645 10,36359185 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-24 9,5125 9,5075 1,0931 1,0871 10,39811375 10,33560325 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-25 9,4965 9,4915 1,0948 1,0893 10,3967682 10,33909095 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-28 9,4835 9,4785 1,098 1,092 10,412883 10,350522 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-29 9,4785 9,4735 1,0972 1,0914 10,3998102 10,3393779 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-11-30 9,5295 9,5245 1,095 1,0893 10,4348025 10,37503785 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-01 9,5165 9,5115 1,093 1,0874 10,4015345 10,3428051 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-02 9,4905 9,4855 1,1012 1,0956 10,4509386 10,3923138 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-05 9,4065 9,4015 1,1026 1,097 10,3716069 10,3134455 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-06 9,4185 9,4135 1,102 1,0959 10,379187 10,31625465 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-07 9,4255 9,4205 1,1063 1,1006 10,42743065 10,3682023 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-08 9,3965 9,3915 1,1035 1,0972 10,36903775 10,3043538 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-12 9,4315 9,4265 1,1132 1,1069 10,4991458 10,43419285 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-13 9,4295 9,4245 1,1144 1,1092 10,5082348 10,4536554 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-14 9,4365 9,4315 1,1114 1,1063 10,4877261 10,43406845 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-15 9,4345 9,4295 1,1118 1,1067 10,4892771 10,43562765 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-16 9,4765 9,4715 1,11 1,1049 10,518915 10,46506035 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-19 9,4535 9,4485 1,1087 1,1036 10,48109545 10,4273646 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-20 9,4015 9,3965 1,1117 1,107 10,45164755 10,4019255 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-21 9,4485 9,4435 1,1164 1,1112 10,5483054 10,4936172 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-22 9,4365 9,4315 1,1213 1,1161 10,58114745 10,52649715 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-23 9,4425 9,4375 1,1219 1,1167 10,59354075 10,53885625 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-29 9,4115 9,4065 1,1258 1,1205 10,5954667 10,53998325 876698 Ashburton Fund Managers Limited Ashburton Global Funds Euro Asset Management Fund PC EUR 2005-12-30 9,4325 9,4275 1,1259 1,1206 10,62005175 10,5644565 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-04 12,8005 12,7855 1,7796 1,7707 22,7797698 22,63928485 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-05 12,8355 12,8205 1,775 1,7662 22,7830125 22,6435671 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-07 12,8955 12,8805 1,7757 1,7669 22,89853935 22,75855545 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-10 13,03576 13,02076 1,7776 1,7685 23,172366976 23,02721406 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-11 13,03576 13,02076 1,7831 1,774 23,244063656 23,09882824 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-12 12,9275 12,9125 1,7862 1,7767 23,0911005 22,94163875 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-13 12,9275 12,9125 1,7825 1,7733 23,04326875 22,89773625 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-14 12,9175 12,9025 1,793 1,7835 23,1610775 23,01160875 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-17 12,9455 12,9305 1,8002 1,7909 23,3044891 23,15723245 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-18 12,9175 12,9025 1,7964 1,7872 23,204997 23,059348 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-19 12,9275 12,9125 1,7975 1,7889 23,23718125 23,09917125 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-20 12,9955 12,9805 1,7916 1,7827 23,2827378 23,14033735 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-21 13,0555 13,0405 1,7926 1,7837 23,4032893 23,26033985 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-24 13,0525 13,0375 1,7957 1,787 23,43837425 23,2980125 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-25 13,0575 13,0425 1,7964 1,7873 23,456493 23,31086025 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-26 13,0755 13,0605 1,7977 1,7888 23,50582635 23,3626224 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-27 13,0475 13,0325 1,7969 1,788 23,44505275 23,30211 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-28 13,1705 13,1555 1,7941 1,7849 23,62919405 23,48125195 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-01-31 13,1875 13,1725 1,7985 1,7896 23,71771875 23,573506 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-01 13,1555 13,1405 1,8035 1,7947 23,72594425 23,58325535 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-02 13,1025 13,0875 1,8053 1,7963 23,65394325 23,50907625 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-03 13,1225 13,1075 1,7998 1,7909 23,6178755 23,47422175 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-04 13,1855 13,1705 1,7991 1,79 23,72203305 23,575195 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-07 13,2305 13,2155 1,8015 1,7925 23,83474575 23,68878375 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-08 13,2175 13,2025 1,803 1,7933 23,8311525 23,67604325 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-09 13,1775 13,1625 1,8036 1,7941 23,766939 23,61484125 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-10 13,1855 13,1705 1,8073 1,7976 23,83015415 23,6752908 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-11 13,2155 13,2005 1,8095 1,7998 23,91344725 23,7582599 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-14 13,2175 13,2025 1,8164 1,8067 24,008267 23,85295675 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-15 13,2175 13,2025 1,8194 1,8099 24,0479195 23,89520475 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-16 13,1905 13,1755 1,8148 1,8052 23,9381194 23,7844126 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-17 13,1605 13,1455 1,8156 1,806 23,8942038 23,740773 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-18 13,2005 13,1855 1,8151 1,8057 23,96022755 23,80905735 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-21 13,2475 13,2325 1,8122 1,8027 24,0071195 23,85422775 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-22 13,1575 13,1425 1,8128 1,8033 23,851916 23,69987025 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-23 13,1405 13,1255 1,8076 1,7981 23,7527678 23,60096155 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-24 13,0725 13,0575 1,8167 1,8073 23,74881075 23,59881975 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-25 13,1575 13,1425 1,8176 1,8091 23,915072 23,77609675 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-02-28 13,1325 13,1175 1,8236 1,8144 23,948427 23,800392 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-01 13,1855 13,1705 1,8229 1,8139 24,03584795 23,88996995 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-02 13,2105 13,1955 1,8236 1,8147 24,0906678 23,94587385 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-03 13,1875 13,1725 1,8274 1,8187 24,0988375 23,95682575 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-04 13,1505 13,1355 1,8263 1,8176 24,01675815 23,8750848 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-07 13,1305 13,1155 1,832 1,8231 24,055076 23,91086805 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-08 13,0925 13,0775 1,8298 1,821 23,9566565 23,8141275 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-09 13,0505 13,0355 1,839 1,83 23,9998695 23,854965 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-10 13,0175 13,0025 1,835 1,8258 23,8871125 23,7399645 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-11 12,9975 12,9825 1,8385 1,8296 23,89590375 23,752782 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-14 12,9805 12,9655 1,8333 1,8243 23,79715065 23,65296165 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-15 13,0475 13,0325 1,832 1,8231 23,90302 23,75955075 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-16 13,0825 13,0675 1,8313 1,8225 23,95798225 23,81551875 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-18 13,0955 13,0805 1,8215 1,8124 23,85345325 23,7070982 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-21 13,1805 13,1655 1,8342 1,8247 24,1756731 24,02308785 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-22 13,1605 13,1455 1,8344 1,825 24,1416212 23,9905375 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-23 13,1455 13,1305 1,8294 1,8201 24,0483777 23,89882305 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-24 13,1205 13,1055 1,8241 1,8146 23,93310405 23,7812403 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-29 13,2125 13,1975 1,814 1,8051 23,967475 23,82280725 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-30 13,2575 13,2425 1,8065 1,7975 23,94967375 23,80339375 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-03-31 13,2725 13,2575 1,816 1,8068 24,10286 23,953651 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-01 13,3525 13,3375 1,8208 1,8116 24,312232 24,162215 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-04 13,3575 13,3425 1,8187 1,81 24,29328525 24,149925 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-05 13,4255 13,4105 1,8176 1,8087 24,4021888 24,25557135 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-06 13,4155 13,4005 1,8205 1,8115 24,42291775 24,27500575 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-07 13,3375 13,3225 1,8247 1,8157 24,33693625 24,18966325 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-08 13,3655 13,3505 1,8265 1,8176 24,41208575 24,2658688 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-11 13,3755 13,3605 1,8153 1,8064 24,28054515 24,1344072 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-12 13,3375 13,3225 1,8157 1,8069 24,21689875 24,07242525 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-13 13,3955 13,3805 1,8178 1,8089 24,3503399 24,20398645 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-14 13,4505 13,4355 1,8088 1,7997 24,3292644 24,17986935 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-15 13,4925 13,4775 1,7948 1,786 24,216339 24,070815 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-18 13,4225 13,4075 1,7744 1,7659 23,816884 23,67630425 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-19 13,4855 13,4705 1,7787 1,7702 23,98665885 23,8454791 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-20 13,5005 13,4855 1,7841 1,7755 24,08624205 23,94350525 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-21 13,4575 13,4425 1,782 1,7735 23,981265 23,84027375 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-22 13,4125 13,3975 1,7881 1,7793 23,98289125 23,83817175 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-25 13,4775 13,4625 1,7871 1,7783 24,08564025 23,94036375 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-26 13,4225 13,4075 1,7891 1,7806 24,01419475 23,8733945 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-27 13,4605 13,4455 1,7826 1,7737 23,9946873 23,84828335 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-28 13,4755 13,4605 1,7802 1,7715 23,9890851 23,84527575 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-04-29 13,5405 13,5255 1,7784 1,7697 24,0804252 23,93607735 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-03 13,5955 13,5805 1,788 1,7793 24,308754 24,16378365 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-04 13,4925 13,4775 1,7917 1,783 24,17451225 24,0303825 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-06 13,4375 13,4225 1,8053 1,7963 24,25871875 24,11083675 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-10 13,4755 13,4605 1,8037 1,7947 24,30575935 24,15755935 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-11 13,4805 13,4655 1,7988 1,7897 24,2487234 24,09920535 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-12 13,4955 13,4805 1,7993 1,7904 24,28245315 24,1354872 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-13 13,5205 13,5055 1,789 1,7814 24,1881745 24,0586977 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-16 13,4775 13,4625 1,7851 1,7764 24,05868525 23,914785 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-17 13,4375 13,4225 1,7836 1,7749 23,967125 23,82359525 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-18 13,3805 13,3655 1,7895 1,7806 23,94440475 23,7986093 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-19 13,3505 13,3355 1,8014 1,7922 24,0495907 23,8998831 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-20 13,3655 13,3505 1,8014 1,7923 24,0766117 23,92810115 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-23 13,3775 13,3625 1,8043 1,7953 24,13702325 23,98969625 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-24 13,3605 13,3455 1,8091 1,8001 24,17048055 24,02323455 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-25 13,3405 13,3255 1,8097 1,7999 24,14230285 23,98456745 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-26 13,3655 13,3505 1,8074 1,7986 24,1568047 24,0122093 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-27 13,3855 13,3705 1,8129 1,8038 24,26657295 24,1177079 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-05-31 13,4475 13,4325 1,8138 1,8048 24,3910755 24,242976 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-01 13,5155 13,5005 1,8178 1,8083 24,5684759 24,41295415 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-02 13,5755 13,5605 1,8244 1,8158 24,7671422 24,6231559 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-03 13,5255 13,5105 1,8278 1,8188 24,7219089 24,5728974 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-07 13,6225 13,6075 1,8273 1,8181 24,89239425 24,73979575 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-08 13,6505 13,6355 1,8272 1,8174 24,9421936 24,7811577 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-09 13,7225 13,7075 1,8207 1,8113 24,98455575 24,82839475 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-10 13,6925 13,6775 1,8262 1,8169 25,0052435 24,85064975 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-13 13,8305 13,8155 1,8231 1,814 25,21438455 25,061317 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-14 13,8625 13,8475 1,8223 1,813 25,26163375 25,1055175 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-15 13,9175 13,9025 1,8238 1,8147 25,3827365 25,22886675 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-16 13,9605 13,9455 1,8194 1,8104 25,3997337 25,2469332 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-17 13,9355 13,9205 1,8329 1,8236 25,54237795 25,3854238 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-20 13,7705 13,7555 1,8398 1,831 25,3349659 25,1863205 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-21 13,9325 13,9175 1,8329 1,8239 25,53687925 25,38412825 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-22 13,9175 13,9025 1,8414 1,8321 25,6276845 25,47077025 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-23 14,0705 14,0555 1,8352 1,8261 25,8221816 25,66674855 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-27 14,1125 14,0975 1,829 1,8198 25,8117625 25,6546305 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-28 14,1355 14,1205 1,8318 1,8228 25,8934089 25,7388474 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-29 14,2175 14,2025 1,8305 1,8214 26,02513375 25,8684335 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-06-30 14,1205 14,1055 1,8419 1,8324 26,00854895 25,8469182 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-01 13,9625 13,9475 1,8445 1,835 25,75383125 25,5936625 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-04 14,0055 13,9905 1,8468 1,8372 25,8653574 25,7033466 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-05 13,9575 13,9425 1,8489 1,839 25,80602175 25,6402575 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-06 13,8755 13,8605 1,8507 1,8411 25,67938785 25,51856655 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-07 13,7955 13,7805 1,8546 1,8445 25,5851343 25,41813225 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-08 13,7455 13,7305 1,857 1,8478 25,5253935 25,3712179 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-11 13,7425 13,7275 1,8613 1,8517 25,57891525 25,41921175 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-12 13,7325 13,7175 1,8621 1,8526 25,57128825 25,4130405 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-13 13,6455 13,6305 1,8645 1,8548 25,44203475 25,2818514 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-14 13,6705 13,6555 1,8599 1,8506 25,42576295 25,2708683 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-15 13,6805 13,6655 1,8548 1,8449 25,3745914 25,21148095 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-18 13,6225 13,6075 1,8581 1,8486 25,31196725 25,1548245 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-19 13,7025 13,6875 1,853 1,8431 25,3907325 25,22743125 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-20 13,5825 13,5675 1,8649 1,8555 25,33000425 25,17449625 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-21 13,5825 13,5675 1,8626 1,8531 25,2987645 25,14193425 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-22 13,6105 13,5955 1,8634 1,854 25,3618057 25,206057 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-25 13,5875 13,5725 1,8736 1,8641 25,45754 25,30049725 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-26 13,6305 13,6155 1,8688 1,8593 25,4726784 25,31529915 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-27 13,7055 13,6905 1,8677 1,8582 25,59776235 25,4396871 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-28 13,6655 13,6505 1,8715 1,8618 25,57498325 25,4145009 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-07-29 13,5975 13,5825 1,8766 1,8669 25,5170685 25,35716925 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-02 13,6355 13,6205 1,8761 1,867 25,58156155 25,4294735 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-03 13,6005 13,5855 1,8773 1,8674 25,53221865 25,3695627 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-04 13,5175 13,5025 1,8835 1,8737 25,46021125 25,29963425 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-05 13,4275 13,4125 1,8777 1,8683 25,21281675 25,05857375 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-08 13,4375 13,4225 1,871 1,8617 25,1415625 24,98866825 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-09 13,4755 13,4605 1,8727 1,8635 25,23556885 25,08364175 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-10 13,5305 13,5155 1,8813 1,872 25,45492965 25,301016 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-11 13,5455 13,5305 1,8896 1,8798 25,5955768 25,4346339 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-12 13,5225 13,5075 1,8965 1,8873 25,64542125 25,49270475 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-15 13,6175 13,6025 1,8992 1,8901 25,862356 25,71008525 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-16 13,6355 13,6205 1,8959 1,8869 25,85154445 25,70052145 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-17 13,7125 13,6975 1,8915 1,8824 25,93719375 25,784174 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-18 13,7405 13,7255 1,8837 1,8742 25,88297985 25,7243321 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-19 13,7775 13,7625 1,8842 1,8754 25,9595655 25,8101925 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-22 13,8405 13,8255 1,8961 1,8868 26,24297205 26,0859534 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-23 13,7805 13,7655 1,8967 1,8871 26,13747435 25,97687505 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-24 13,7555 13,7405 1,8964 1,8873 26,0859302 25,93244565 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-25 13,7055 13,6905 1,8931 1,8841 25,94588205 25,79427105 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-26 13,6875 13,6725 1,8953 1,8859 25,94191875 25,78496775 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-08-30 13,6825 13,6675 1,8966 1,8872 25,9502295 25,793306 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-01 13,6375 13,6225 1,9071 1,8978 26,00807625 25,8527805 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-02 13,6475 13,6325 1,9146 1,9055 26,1295035 25,97672875 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-05 13,6855 13,6705 1,9104 1,9006 26,1447792 25,9821523 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-06 13,7625 13,7475 1,9048 1,8954 26,21481 26,0570115 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-07 13,7105 13,6955 1,9039 1,8947 26,10342095 25,94886385 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-08 13,7855 13,7705 1,9004 1,8914 26,1979642 26,0455237 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-09 13,8275 13,8125 1,9058 1,8969 26,3524495 26,20093125 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-12 13,8055 13,7905 1,9226 1,9131 26,5424543 26,38260555 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-13 13,7805 13,7655 1,9216 1,9118 26,4806088 26,3168829 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-14 13,8805 13,8655 1,9195 1,9102 26,64361975 26,4858781 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-15 13,8955 13,8805 1,9275 1,9179 26,78357625 26,62141095 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-16 13,7905 13,7755 1,932 1,9226 26,643246 26,4847763 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-19 13,8555 13,8405 1,9338 1,9241 26,7937659 26,63050605 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-20 13,8775 13,8625 1,9476 1,9378 27,027819 26,8627525 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-21 13,8375 13,8225 1,9418 1,9322 26,8696575 26,7078345 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-22 13,8355 13,8205 1,9503 1,9407 26,98337565 26,82144435 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-23 13,8055 13,7905 1,9537 1,9438 26,97180535 26,8059739 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-26 13,8325 13,8175 1,9568 1,9471 27,067436 26,90405425 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-27 13,8205 13,8055 1,9599 1,9497 27,08679795 26,91658335 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-28 13,8275 13,8125 1,9667 1,9566 27,19454425 27,0255375 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-29 13,7475 13,7325 1,9877 1,9776 27,32590575 27,157392 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-09-30 13,6775 13,6625 1,9911 1,9806 27,23327025 27,0599475 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-03 13,6775 13,6625 1,9763 1,9656 27,03084325 26,85501 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-04 13,7375 13,7225 1,9755 1,965 27,13843125 26,9647125 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-05 13,7405 13,7255 1,9655 1,9551 27,00695275 26,83472505 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-06 13,6705 13,6555 1,9462 1,936 26,6055271 26,437048 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-07 13,5955 13,5805 1,9499 1,9403 26,50986545 26,35024415 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-10 13,5675 13,5525 1,9576 1,9474 26,559738 26,3921385 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-11 13,5855 13,5705 1,9686 1,9582 26,7444153 26,5737531 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-12 13,5955 13,5805 1,9676 1,9575 26,7505058 26,58382875 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-13 13,6675 13,6525 1,9563 1,9456 26,73773025 26,562304 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-14 13,7555 13,7405 1,9444 1,9337 26,7461942 26,57000485 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-17 13,8475 13,8325 1,938 1,9277 26,836455 26,66491025 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-18 13,8225 13,8075 1,9469 1,9367 26,91102525 26,74098525 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-19 13,8975 13,8825 1,9308 1,9207 26,833293 26,66411775 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-20 13,9905 13,9755 1,9221 1,9119 26,89114005 26,71975845 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-21 14,0025 13,9875 1,919 1,9088 26,8707975 26,69934 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-24 14,1375 14,1225 1,9197 1,9096 27,13975875 26,968326 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-25 14,1225 14,1075 1,9251 1,9157 27,18722475 27,02573775 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-26 13,9955 13,9805 1,9334 1,9231 27,0588997 26,88589955 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-27 14,0405 14,0255 1,9307 1,9208 27,10799335 26,9401804 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-28 13,9655 13,9505 1,931 1,9213 26,9673805 26,80309565 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-10-31 14,0725 14,0575 1,9377 1,9276 27,26828325 27,097237 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-01 14,1055 14,0905 1,9531 1,9429 27,54945205 27,37643245 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-02 14,0775 14,0625 1,9567 1,9459 27,54544425 27,36421875 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-03 14,2125 14,1975 1,9554 1,945 27,7911225 27,6141375 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-04 14,1905 14,1755 1,9607 1,9501 27,82331335 27,64364255 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-07 14,2275 14,2125 1,9632 1,9526 27,931428 27,7513275 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-08 14,1725 14,1575 1,9685 1,9577 27,89856625 27,71613775 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-09 14,1525 14,1375 1,9673 1,9563 27,84221325 27,65719125 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-10 14,2425 14,2275 1,9602 1,9492 27,9181485 27,732243 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-11 14,3475 14,3325 1,9656 1,955 28,201446 28,0200375 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-14 14,1905 14,1755 1,9638 1,9532 27,8673039 27,6875866 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-15 14,2325 14,2175 1,9602 1,9493 27,8985465 27,71417275 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-16 14,2475 14,2325 1,9624 1,9516 27,959294 27,776147 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-17 14,1855 14,1705 1,9888 1,9774 28,2121224 28,0207467 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-18 14,0775 14,0625 2,0008 1,99 28,166262 27,984375 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-21 13,9755 13,9605 1,9999 1,9886 27,94960245 27,7618503 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-22 13,9775 13,9625 2,0008 1,9905 27,966182 27,79235625 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-23 13,8705 13,8555 2,0085 1,9972 27,85889925 27,6722046 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-24 13,8725 13,8575 2,0022 1,9913 27,7755195 27,59443975 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-25 13,8775 13,8625 2,0057 1,9953 27,83410175 27,65984625 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-28 13,8505 13,8355 2,0126 2,0015 27,8755163 27,69175325 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-29 13,8325 13,8175 2,0117 2,0009 27,82684025 27,64743575 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-11-30 13,9255 13,9105 2,0053 1,9947 27,92480515 27,74727435 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-01 13,9955 13,9805 1,9977 1,9872 27,95881035 27,7820496 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-02 14,0055 13,9905 2,0095 1,9989 28,14405225 27,96561045 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-05 13,9175 13,9025 2,0103 1,9999 27,97835025 27,80360975 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-06 13,9455 13,9305 2,0116 2,0004 28,0527678 27,8665722 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-07 13,9105 13,8955 2,0185 2,0081 28,07834425 27,90355355 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-08 13,8955 13,8805 2,0098 1,9984 27,9271759 27,7387912 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-12 14,0125 13,9975 2,0256 2,0143 28,38372 28,19516425 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-13 14,0075 13,9925 2,0305 2,0208 28,44222875 28,276044 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-14 13,9555 13,9405 2,0308 2,0215 28,3408294 28,18072075 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-15 13,9105 13,8955 2,0308 2,0215 28,2494434 28,08975325 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-16 13,9755 13,9605 2,0256 2,0168 28,3087728 28,1555364 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-19 13,9125 13,8975 2,027 2,0181 28,2006375 28,04654475 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-20 13,8225 13,8075 2,0327 2,0242 28,09699575 27,9491415 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-21 13,9605 13,9455 2,0396 2,0302 28,4738358 28,3121541 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-22 13,8975 13,8825 2,0519 2,0425 28,51628025 28,35500625 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-23 13,8255 13,8105 2,0562 2,0468 28,4279931 28,2673314 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-29 13,6655 13,6505 2,0721 2,0623 28,31628255 28,15142615 912527 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Asset Management Fund PC GBP 2005-12-30 13,7405 13,7255 2,0674 2,0577 28,4071097 28,24296135 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-04 12,8005 12,7855 39,0069 38,6505 499,30782345 494,16596775 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-05 12,8355 12,8205 38,7841 38,4306 497,81331555 492,6995073 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-07 12,8955 12,8805 38,7601 38,4049 499,83086955 494,67431445 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-10 13,03576 13,02076 38,7708 38,4177 505,406843808 500,227651452 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-11 13,03576 13,02076 38,984 38,6315 508,18606784 503,01148994 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-12 12,9275 12,9125 38,9671 38,6147 503,74718525 498,61231375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-13 12,9275 12,9125 38,8636 38,5139 502,409189 497,31073375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-14 12,9175 12,9025 39,2521 38,8983 507,03900175 501,88531575 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-17 12,9455 12,9305 39,6577 39,2953 513,38875535 508,10787665 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-18 12,9175 12,9025 39,5572 39,1951 510,980131 505,71477775 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-19 12,9275 12,9125 39,6465 39,291 512,53012875 507,3450375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-20 12,9955 12,9805 39,3415 38,9919 511,26246325 506,13435795 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-21 13,0555 13,0405 39,314 38,9632 513,263927 508,0996096 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-24 13,0525 13,0375 39,2502 38,904 512,3132355 507,2109 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-25 13,0575 13,0425 39,2556 38,8891 512,579997 507,21108675 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-26 13,0755 13,0605 39,4272 39,0652 515,5303536 510,2110446 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-27 13,0475 13,0325 39,3434 38,9901 513,3330115 508,13847825 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-28 13,1705 13,1555 39,3507 38,9914 518,26839435 512,9513627 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-01-31 13,1875 13,1725 39,4649 39,1105 520,44336875 515,18306125 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-01 13,1555 13,1405 39,7053 39,3471 522,34307415 517,04056755 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-02 13,1025 13,0875 39,9219 39,5541 523,07669475 517,66428375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-03 13,1225 13,1075 39,8773 39,5097 523,28986925 517,87339275 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-04 13,1855 13,1705 39,9801 39,6005 527,15760855 521,55838525 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-07 13,2305 13,2155 40,4841 40,1047 535,62488505 530,00366285 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-08 13,2175 13,2025 40,5371 40,1696 535,79911925 530,339144 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-09 13,1775 13,1625 40,4485 40,0806 533,01010875 527,5608975 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-10 13,1855 13,1705 40,3433 39,9826 531,94658215 526,5908333 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-11 13,2155 13,2005 40,4851 40,1191 535,03083905 529,59217955 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-14 13,2175 13,2025 40,6812 40,3063 537,703761 532,14392575 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-15 13,2175 13,2025 40,6404 40,2673 537,164487 531,62902825 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-16 13,1905 13,1755 40,478 40,1134 533,925059 528,5141017 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-17 13,1605 13,1455 40,5803 40,2067 534,05703815 528,53717485 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-18 13,2005 13,1855 40,4345 40,0709 533,75561725 528,35485195 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-21 13,2475 13,2325 40,3676 40,0096 534,769781 529,427032 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-22 13,1575 13,1425 40,2305 39,869 529,33280375 523,9783325 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-23 13,1405 13,1255 39,8293 39,4757 523,37691665 518,13830035 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-24 13,0725 13,0575 40,2667 39,8989 526,38643575 520,97988675 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-25 13,1575 13,1425 40,5773 40,2259 533,89582475 528,66889075 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-02-28 13,1325 13,1175 40,8 40,4445 535,806 530,53072875 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-01 13,1855 13,1705 40,782 40,4313 537,731061 532,50043665 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-02 13,2105 13,1955 40,9805 40,6183 541,37289525 535,97877765 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-03 13,1875 13,1725 41,091 40,7348 541,8875625 536,579153 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-04 13,1505 13,1355 41,1431 40,7954 541,05233655 535,8679767 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-07 13,1305 13,1155 41,5152 41,1546 545,1153336 539,7631563 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-08 13,0925 13,0775 41,4504 41,0936 542,689362 537,401554 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-09 13,0505 13,0355 41,5283 41,1814 541,96507915 536,8201397 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-10 13,0175 13,0025 41,133 40,7806 535,4488275 530,2497515 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-11 12,9975 12,9825 41,2954 40,952 536,7369615 531,65934 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-14 12,9805 12,9655 41,112 40,7613 533,654316 528,49063515 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-15 13,0475 13,0325 41,1132 40,7637 536,424477 531,25292025 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-16 13,0825 13,0675 40,9064 40,5584 535,157978 529,996892 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-18 13,0955 13,0805 40,831 40,4793 534,7023605 529,48948365 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-21 13,1805 13,1655 40,9287 40,568 539,46073035 534,098004 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-22 13,1605 13,1455 40,7811 40,4291 536,69966655 531,46073405 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-23 13,1455 13,1305 40,6764 40,3199 534,7116162 529,42044695 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-24 13,1205 13,1055 40,5921 40,2411 532,58864805 527,37973605 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-29 13,2125 13,1975 40,3479 40,0014 533,09662875 527,9184765 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-30 13,2575 13,2425 39,8127 39,4717 527,81687025 522,70398725 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-03-31 13,2725 13,2575 40,2779 39,9363 534,58842775 529,45549725 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-01 13,3525 13,3375 40,4323 40,0857 539,87228575 534,64302375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-04 13,3575 13,3425 40,3606 40,0267 539,1167145 534,05624475 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-05 13,4255 13,4105 40,4 40,048 542,3902 537,063704 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-06 13,4155 13,4005 40,5248 40,1706 543,6604544 538,3061253 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-07 13,3375 13,3225 40,7142 40,3569 543,0256425 537,65480025 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-08 13,3655 13,3505 40,9382 40,5885 547,1595121 541,87676925 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-11 13,3755 13,3605 40,301 39,9436 539,0460255 533,6664678 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-12 13,3375 13,3225 40,2587 39,9045 536,95041125 531,62770125 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-13 13,3955 13,3805 40,286 39,9261 539,651113 534,23118105 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-14 13,4505 13,4355 39,8447 39,4795 535,93113735 530,42682225 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-15 13,4925 13,4775 39,1591 38,807 528,35415675 523,0213425 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-18 13,4225 13,4075 38,1556 37,8319 512,143541 507,23119925 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-19 13,4855 13,4705 38,3403 38,0141 517,03811565 512,06893405 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-20 13,5005 13,4855 38,599 38,2739 521,1057995 516,14267845 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-21 13,4575 13,4425 38,3856 38,058 516,574212 511,594665 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-22 13,4125 13,3975 38,8253 38,4902 520,74433625 515,6724545 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-25 13,4775 13,4625 38,7238 38,381 521,9000145 516,7042125 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-26 13,4225 13,4075 38,8314 38,5011 521,2144665 516,20349825 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-27 13,4605 13,4455 38,5893 38,2466 519,43127265 514,2446603 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-28 13,4755 13,4605 38,5491 38,2197 519,46839705 514,45627185 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-04-29 13,5405 13,5255 38,3467 38,023 519,23349135 514,2800865 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-03 13,5955 13,5805 39,0084 38,6776 530,3387022 525,2611468 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-04 13,4925 13,4775 39,0209 38,6928 526,48949325 521,482212 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-06 13,4375 13,4225 39,568 39,226 531,695 526,510985 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-10 13,4755 13,4605 39,8122 39,4726 536,4893011 531,3209323 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-11 13,4805 13,4655 39,4317 39,0873 531,55903185 526,33003815 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-12 13,4955 13,4805 39,7203 39,3727 536,04530865 530,76368235 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-13 13,5205 13,5055 39,2073 38,8742 530,10229965 525,0155081 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-16 13,4775 13,4625 39,1447 38,806 527,57269425 522,425775 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-17 13,4375 13,4225 39,1852 38,8459 526,551125 521,40909275 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-18 13,3805 13,3655 39,54 39,1863 529,06497 523,74449265 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-19 13,3505 13,3355 39,9745 39,6126 533,67956225 528,2538273 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-20 13,3655 13,3505 40,0952 39,7375 535,8923956 530,51549375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-23 13,3775 13,3625 40,2684 39,9075 538,690521 533,26396875 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-24 13,3605 13,3455 40,457 40,0938 540,5257485 535,0718079 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-25 13,3405 13,3255 40,4508 40,0845 539,6338974 534,14600475 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-26 13,3655 13,3505 40,4514 40,0796 540,6531867 535,0826998 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-27 13,3855 13,3705 40,7769 40,4131 545,81919495 540,34335355 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-05-31 13,4475 13,4325 40,899 40,5319 549,9893025 544,44474675 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-01 13,5155 13,5005 40,9659 40,584 553,67462145 547,904292 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-02 13,5755 13,5605 41,1423 40,791 558,52729365 553,1463555 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-03 13,5255 13,5105 41,2271 40,858 557,61714105 552,012009 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-07 13,6225 13,6075 41,1277 40,7509 560,26209325 554,51787175 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-08 13,6505 13,6355 41,0989 40,7234 561,02053445 555,2839207 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-09 13,7225 13,7075 41,063 40,6909 563,4870175 557,77051175 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-10 13,6925 13,6775 41,3809 41,0057 566,60797325 560,85546175 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-13 13,8305 13,8155 41,5112 41,1498 574,1206516 568,5050619 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-14 13,8625 13,8475 41,4693 41,0845 574,86817125 568,91761375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-15 13,9175 13,9025 41,6398 41,2861 579,5219165 573,98000525 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-16 13,9605 13,9455 41,4103 41,0546 578,10849315 572,5269243 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-17 13,9355 13,9205 41,8088 41,4448 582,6265324 576,9323384 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-20 13,7705 13,7555 42,0223 41,6659 578,66808215 573,13528745 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-21 13,9325 13,9175 41,9666 41,6117 584,6996545 579,13083475 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-22 13,9175 13,9025 42,0466 41,6729 585,1835555 579,35749225 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-23 14,0705 14,0555 42,0544 41,6899 591,7264352 585,97238945 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-27 14,1125 14,0975 41,5469 41,1807 586,33062625 580,54491825 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-28 14,1355 14,1205 41,7244 41,3626 589,7952562 584,0605933 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-29 14,2175 14,2025 41,951 41,5804 596,4383425 590,545631 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-06-30 14,1205 14,1055 42,3414 41,9668 597,8817387 591,9626974 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-01 13,9625 13,9475 42,7337 42,3534 596,66928625 590,7240465 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-04 14,0055 13,9905 43,0185 42,6424 602,49560175 596,5884972 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-05 13,9575 13,9425 43,0685 42,6884 601,12858875 595,183017 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-06 13,8755 13,8605 43,257 42,8807 600,2125035 594,34794235 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-07 13,7955 13,7805 43,0738 42,6759 594,2246079 588,09523995 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-08 13,7455 13,7305 43,4446 43,0691 597,1677493 591,36027755 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-11 13,7425 13,7275 43,6525 43,2693 599,89448125 593,97931575 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-12 13,7325 13,7175 43,5745 43,1711 598,38682125 592,19956425 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-13 13,6455 13,6305 43,768 43,3646 597,236244 591,0811803 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-14 13,6705 13,6555 43,7474 43,3517 598,0488317 591,98913935 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-15 13,6805 13,6655 43,6456 43,2487 597,0936308 591,01510985 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-18 13,6225 13,6075 43,9257 43,5463 598,37784825 592,55627725 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-19 13,7025 13,6875 43,8465 43,4602 600,80666625 594,8614875 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-20 13,5825 13,5675 44,4193 44,0354 603,32514225 597,4502895 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-21 13,5825 13,5675 44,3311 43,9597 602,12716575 596,42322975 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-22 13,6105 13,5955 44,1234 43,7417 600,5415357 594,69028235 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-25 13,5875 13,5725 44,4929 44,1129 604,54727875 598,72233525 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-26 13,6305 13,6155 44,3871 44,0021 605,01836655 599,11059255 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-27 13,7055 13,6905 44,5037 44,0991 609,94546035 603,73872855 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-28 13,6655 13,6505 44,7824 44,3694 611,9738872 605,6644947 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-07-29 13,5975 13,5825 44,7558 44,3473 608,5669905 602,34720225 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-02 13,6355 13,6205 44,6018 44,2021 608,1678439 602,05470305 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-03 13,6005 13,5855 44,8384 44,4222 609,8246592 603,4977981 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-04 13,5175 13,5025 44,9633 44,5483 607,79140775 601,51342075 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-05 13,4275 13,4125 44,4995 44,0844 597,51703625 591,282015 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-08 13,4375 13,4225 44,2309 43,8094 594,35271875 588,0316715 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-09 13,4755 13,4605 44,3167 43,8926 597,18969085 590,8163423 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-10 13,5305 13,5155 44,6016 44,1791 603,4819488 597,10262605 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-11 13,5455 13,5305 44,6977 44,3017 605,45269535 599,42415185 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-12 13,5225 13,5075 44,726 44,3295 604,807335 598,78072125 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-15 13,6175 13,6025 44,6773 44,2494 608,39313275 601,9024635 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-16 13,6355 13,6205 44,6377 44,2049 608,65735835 602,09284045 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-17 13,7125 13,6975 44,1618 43,7448 605,5686825 599,194398 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-18 13,7405 13,7255 43,8709 43,46 602,80810145 596,51023 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-19 13,7775 13,7625 43,9861 43,585 606,01849275 599,8385625 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-22 13,8405 13,8255 44,2885 43,879 612,97498425 606,6491145 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-23 13,7805 13,7655 44,2691 43,85 610,05033255 603,617175 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-24 13,7555 13,7405 44,1973 43,7666 607,95596015 601,3749673 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-25 13,7055 13,6905 43,9391 43,4919 602,20733505 595,42585695 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-26 13,6875 13,6725 44,0773 43,649 603,30804375 596,7909525 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-08-30 13,6825 13,6675 44,0609 43,6355 602,86326425 596,38819625 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-01 13,6375 13,6225 44,4896 44,0581 606,72692 600,18146725 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-02 13,6475 13,6325 44,5329 44,1073 607,76275275 601,29276725 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-05 13,6855 13,6705 44,3907 43,9111 607,50892485 600,28669255 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-06 13,7625 13,7475 44,3213 43,8553 609,97189125 602,90073675 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-07 13,7105 13,6955 44,528 44,0907 610,501144 603,84418185 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-08 13,7855 13,7705 44,4612 44,0173 612,9198726 606,14022965 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-09 13,8275 13,8125 44,5726 44,1376 616,3276265 609,6506 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-12 13,8055 13,7905 45,113 44,6863 622,8075215 616,24642015 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-13 13,7805 13,7655 45,1601 44,7312 622,32875805 615,7473336 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-14 13,8805 13,8655 45,0402 44,6234 625,1804961 618,7257527 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-15 13,8955 13,8805 45,6953 45,2646 634,95904115 628,2952803 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-16 13,7905 13,7755 45,7709 45,3239 631,20359645 624,35938445 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-19 13,8555 13,8405 46,1113 45,6478 638,89511715 631,7883759 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-20 13,8775 13,8625 46,5497 46,1111 645,99346175 639,21512375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-21 13,8375 13,8225 46,2766 45,8398 640,3524525 633,6206355 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-22 13,8355 13,8205 46,3041 45,873 640,64037555 633,9877965 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-23 13,8055 13,7905 46,5918 46,1513 643,2230949 636,44950265 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-26 13,8325 13,8175 47,0801 46,6348 651,23548325 644,376349 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-27 13,8205 13,8055 47,2631 46,8347 653,19967355 646,57645085 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-28 13,8275 13,8125 47,4321 46,9952 655,86736275 649,1212 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-29 13,7475 13,7325 48,0314 47,589 660,3116715 653,5159425 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-09-30 13,6775 13,6625 48,3004 47,8431 660,628721 653,65635375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-03 13,6775 13,6625 48,0091 47,5489 656,64446525 649,63684625 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-04 13,7375 13,7225 48,0078 47,5544 659,5071525 652,565254 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-05 13,7405 13,7255 47,345 46,8902 650,5439725 643,5914401 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-06 13,6705 13,6555 46,4422 45,9922 634,8880951 628,0464871 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-07 13,5955 13,5805 46,5565 46,1304 632,95889575 626,4738972 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-10 13,5675 13,5525 46,9676 46,528 637,232913 630,57072 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-11 13,5855 13,5705 47,1456 46,7204 640,4965488 634,0191882 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-12 13,5955 13,5805 47,2274 46,7948 642,0801167 635,4967814 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-13 13,6675 13,6525 46,68 46,2387 637,9989 631,27385175 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-14 13,7555 13,7405 46,1497 45,742 634,81219835 628,517951 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-17 13,8475 13,8325 46,1504 45,7416 639,067664 632,720682 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-18 13,8225 13,8075 46,4181 46,0124 641,61418725 635,316213 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-19 13,8975 13,8825 45,8183 45,4019 636,75982425 630,29187675 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-20 13,9905 13,9755 45,7811 45,3602 640,50047955 633,9314751 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-21 14,0025 13,9875 45,2735 44,8757 633,94218375 627,69885375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-24 14,1375 14,1225 45,411 45,0036 641,9980125 635,563341 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-25 14,1225 14,1075 45,8025 45,3922 646,84580625 640,3704615 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-26 13,9955 13,9805 46,2062 45,7929 646,6788721 640,20763845 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-27 14,0405 14,0255 45,9569 45,5344 645,25785445 638,6427272 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-28 13,9655 13,9505 45,6168 45,2018 637,0614204 630,5877109 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-10-31 14,0725 14,0575 46,5254 46,0832 654,7286915 647,814584 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-01 14,1055 14,0905 47,3427 46,9154 667,79245485 661,0614437 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-02 14,0775 14,0625 47,5229 47,0582 669,00362475 661,7559375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-03 14,2125 14,1975 47,5826 47,1408 676,2677025 669,281508 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-04 14,1905 14,1755 48,1425 47,6925 683,16614625 676,06503375 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-07 14,2275 14,2125 48,3892 47,9494 688,457343 681,4808475 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-08 14,1725 14,1575 48,5578 48,1068 688,1854205 681,072021 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-09 14,1525 14,1375 48,3268 47,899 683,945037 677,1721125 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-10 14,2425 14,2275 48,1747 47,7629 686,12816475 679,54665975 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-11 14,3475 14,3325 48,4422 48,0242 695,0244645 688,3068465 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-14 14,1905 14,1755 48,2086 47,784 684,1041383 677,362092 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-15 14,2325 14,2175 48,1639 47,7356 685,49270675 678,680893 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-16 14,2475 14,2325 48,2811 47,8366 687,88497225 680,8344095 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-17 14,1855 14,1705 49,0842 48,6419 696,2839191 689,28004395 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-18 14,0775 14,0625 49,7531 49,3027 700,39926525 693,31921875 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-21 13,9755 13,9605 49,592 49,1501 693,072996 686,15997105 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-22 13,9775 13,9625 49,861 49,4093 696,9321275 689,87735125 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-23 13,8705 13,8555 49,8841 49,4408 691,91740905 685,0270044 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-24 13,8725 13,8575 49,835 49,3731 691,3360375 684,18773325 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-25 13,8775 13,8625 50,0213 49,5651 694,17059075 687,09619875 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-28 13,8505 13,8355 50,5066 50,0283 699,5416633 692,16654465 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-29 13,8325 13,8175 49,7061 49,2621 687,55962825 680,67906675 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-11-30 13,9255 13,9105 49,6728 49,2208 691,7185764 684,6859384 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-01 13,9955 13,9805 49,6619 49,2096 695,04312145 687,9748128 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-02 14,0055 13,9905 50,4065 49,9519 705,96823575 698,85205695 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-05 13,9175 13,9025 50,5385 50,0758 703,36957375 696,1788095 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-06 13,9455 13,9305 50,423 49,9633 703,1739465 696,01375065 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-07 13,9105 13,8955 50,8248 50,3681 706,9983804 699,88993355 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-08 13,8955 13,8805 50,0999 49,6383 696,16316045 689,00442315 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-12 14,0125 13,9975 50,3584 49,9372 705,64708 698,995957 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-13 14,0075 13,9925 50,2892 49,8633 704,425969 697,71222525 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-14 13,9555 13,9405 50,3082 49,8779 702,0760851 695,32286495 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-15 13,9105 13,8955 50,1582 49,7293 697,7256411 691,01348815 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-16 13,9755 13,9605 50,1609 49,7328 701,02365795 694,2947544 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-19 13,9125 13,8975 50,3995 49,9651 701,18304375 694,38997725 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-20 13,8225 13,8075 50,444 50,0041 697,26219 690,43161075 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-21 13,9605 13,9455 51,0088 50,565 712,1083524 705,1542075 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-22 13,8975 13,8825 51,5498 51,1096 716,4133455 709,529022 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-23 13,8255 13,8105 51,8095 51,358 716,29224225 709,279659 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-29 13,6655 13,6505 52,6119 52,1564 718,96791945 711,9609382 769208 Ashburton Fund Managers Limited Ashburton Global Funds Sterling International Equity Fund PC GBP 2005-12-30 13,7405 13,7255 52,2921 51,8366 718,51960005 711,4832533 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-04 12,8005 12,7855 6,2237 6,215 79,66647185 79,4618825 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-05 12,8355 12,8205 6,2268 6,2191 79,9240914 79,73197155 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-07 12,8955 12,8805 6,2257 6,2183 80,28351435 80,09481315 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-10 13,03576 13,02076 6,2385 6,2295 81,32358876 81,11282442 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-11 13,03576 13,02076 6,2391 6,23 81,331410216 81,1193348 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-12 12,9275 12,9125 6,2571 6,2453 80,88866025 80,64243625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-13 12,9275 12,9125 6,2444 6,2348 80,724481 80,506855 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-14 12,9175 12,9025 6,2702 6,261 80,9953085 80,7825525 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-17 12,9455 12,9305 6,2819 6,2729 81,32233645 81,11173345 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-18 12,9175 12,9025 6,2829 6,2753 81,15936075 80,96705825 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-19 12,9275 12,9125 6,2741 6,2679 81,10842775 80,93425875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-20 12,9955 12,9805 6,2757 6,2686 81,55585935 81,3695623 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-21 13,0555 13,0405 6,2791 6,2712 81,97679005 81,7795836 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-24 13,0525 13,0375 6,272 6,2644 81,86528 81,672115 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-25 13,0575 13,0425 6,2732 6,265 81,912309 81,7112625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-26 13,0755 13,0605 6,2666 6,2592 81,9389283 81,7482816 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-27 13,0475 13,0325 6,2677 6,2592 81,77781575 81,573024 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-28 13,1705 13,1555 6,2572 6,2488 82,4104526 82,2060884 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-01-31 13,1875 13,1725 6,2511 6,2434 82,43638125 82,2411865 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-01 13,1555 13,1405 6,2632 6,2556 82,3955276 82,2017118 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-02 13,1025 13,0875 6,2615 6,2541 82,04130375 81,85053375 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-03 13,1225 13,1075 6,2441 6,2366 81,93820225 81,7462345 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-04 13,1855 13,1705 6,2444 6,237 82,3355362 82,1444085 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-07 13,2305 13,2155 6,218 6,2105 82,267249 82,07486275 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-08 13,2175 13,2025 6,2413 6,2297 82,49438275 82,24761425 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-09 13,1775 13,1625 6,2387 6,2274 82,21046925 81,9681525 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-10 13,1855 13,1705 6,2527 6,2414 82,44497585 82,2023587 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-11 13,2155 13,2005 6,2505 6,2391 82,60348275 82,35923955 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-14 13,2175 13,2025 6,2127 6,2013 82,11636225 81,87266325 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-15 13,2175 13,2025 6,2534 6,242 82,6543145 82,410005 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-16 13,1905 13,1755 6,2536 6,2421 82,4881108 82,24278855 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-17 13,1605 13,1455 6,2447 6,2333 82,18337435 81,93984515 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-18 13,2005 13,1855 6,2389 6,228 82,35659945 82,119294 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-21 13,2475 13,2325 6,2323 6,2212 82,56239425 82,322029 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-22 13,1575 13,1425 6,2548 6,2437 82,297531 82,05782725 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-23 13,1405 13,1255 6,2486 6,2377 82,1097283 81,87293135 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-24 13,0725 13,0575 6,2653 6,2544 81,90313425 81,666828 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-25 13,1575 13,1425 6,2424 6,2354 82,134378 81,9487445 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-02-28 13,1325 13,1175 6,2435 6,2329 81,99276375 81,76006575 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-01 13,1855 13,1705 6,2358 6,2253 82,2221409 81,99031365 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-02 13,2105 13,1955 6,2382 6,2299 82,4097411 82,20664545 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-03 13,1875 13,1725 6,2451 6,2365 82,35725625 82,15029625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-04 13,1505 13,1355 6,2424 6,2339 82,0906812 81,88539345 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-07 13,1305 13,1155 6,2417 6,236 81,95664185 81,788258 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-08 13,0925 13,0775 6,24 6,2337 81,6972 81,52121175 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-09 13,0505 13,0355 6,2564 6,25 81,6491482 81,471875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-10 13,0175 13,0025 6,2503 6,2439 81,36328025 81,18630975 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-11 12,9975 12,9825 6,2652 6,2585 81,431937 81,25097625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-14 12,9805 12,9655 6,2436 6,237 81,0450498 80,8658235 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-15 13,0475 13,0325 6,2597 6,2533 81,67343575 81,49613225 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-16 13,0825 13,0675 6,254 6,2468 81,817955 81,630059 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-18 13,0955 13,0805 6,1641 6,1572 80,72197155 80,5392546 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-21 13,1805 13,1655 6,2575 6,2504 82,47697875 82,2896412 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-22 13,1605 13,1455 6,2743 6,2668 82,57292515 82,3802194 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-23 13,1455 13,1305 6,2772 6,2699 82,5169326 82,32692195 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-24 13,1205 13,1055 6,2834 6,2764 82,4413497 82,2553602 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-29 13,2125 13,1975 6,2598 6,2545 82,7076075 82,54376375 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-30 13,2575 13,2425 6,2614 6,2558 83,0105105 82,8424315 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-03-31 13,2725 13,2575 6,2693 6,2622 83,20928425 83,0211165 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-01 13,3525 13,3375 6,2719 6,2637 83,74554475 83,54209875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-04 13,3575 13,3425 6,2771 6,2711 83,84636325 83,67215175 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-05 13,4255 13,4105 6,2585 6,2508 84,02349175 83,8263534 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-06 13,4155 13,4005 6,2653 6,2578 84,05213215 83,8576489 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-07 13,3375 13,3225 6,2796 6,2718 83,754165 83,5560555 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-08 13,3655 13,3505 6,2739 6,2661 83,85381045 83,65556805 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-11 13,3755 13,3605 6,2639 6,2561 83,78279445 83,58462405 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-12 13,3375 13,3225 6,2773 6,2698 83,72348875 83,5294105 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-13 13,3955 13,3805 6,2883 6,2805 84,23492265 84,03623025 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-14 13,4505 13,4355 6,2843 6,2765 84,52697715 84,32791575 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-15 13,4925 13,4775 6,2914 6,2837 84,8867145 84,68856675 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-18 13,4225 13,4075 6,3071 6,2993 84,65704975 84,45786475 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-19 13,4855 13,4705 6,2805 6,2714 84,69568275 84,4788937 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-20 13,5005 13,4855 6,2875 6,2799 84,88439375 84,68759145 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-21 13,4575 13,4425 6,2948 6,2874 84,712271 84,5183745 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-22 13,4125 13,3975 6,3012 6,2937 84,514845 84,31984575 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-25 13,4775 13,4625 6,3029 6,2956 84,94733475 84,754515 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-26 13,4225 13,4075 6,3118 6,3043 84,7201355 84,52490225 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-27 13,4605 13,4455 6,3056 6,298 84,8765288 84,679759 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-28 13,4755 13,4605 6,3117 6,3043 85,05331335 84,85903015 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-04-29 13,5405 13,5255 6,3126 6,305 85,4757603 85,2782775 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-03 13,5955 13,5805 6,3282 6,3209 86,0350431 85,84098245 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-04 13,4925 13,4775 6,338 6,3303 85,515465 85,31661825 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-06 13,4375 13,4225 6,3511 6,3433 85,34290625 85,14294425 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-10 13,4755 13,4605 6,3334 6,3257 85,3457317 85,14708485 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-11 13,4805 13,4655 6,3358 6,3277 85,4097519 85,20564435 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-12 13,4955 13,4805 6,3452 6,3376 85,6316466 85,4340168 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-13 13,5205 13,5055 6,3388 6,3309 85,7037454 85,50196995 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-16 13,4775 13,4625 6,3549 6,347 85,64816475 85,4464875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-17 13,4375 13,4225 6,369 6,3612 85,5834375 85,383207 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-18 13,3805 13,3655 6,3771 6,3695 85,32878655 85,13155225 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-19 13,3505 13,3355 6,3754 6,3678 85,1147777 84,9177969 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-20 13,3655 13,3505 6,3716 6,3636 85,1596198 84,9572418 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-23 13,3775 13,3625 6,3734 6,3656 85,2601585 85,06033 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-24 13,3605 13,3455 6,3853 6,3773 85,31080065 85,10825715 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-25 13,3405 13,3255 6,3957 6,3841 85,32183585 85,07132455 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-26 13,3655 13,3505 6,377 6,3687 85,2317935 85,02532935 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-27 13,3855 13,3705 6,3763 6,368 85,34996365 85,143344 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-05-31 13,4475 13,4325 6,3606 6,3528 85,5341685 85,333986 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-01 13,5155 13,5005 6,3674 6,3597 86,0585947 85,85912985 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-02 13,5755 13,5605 6,3812 6,3735 86,6279806 86,42784675 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-03 13,5255 13,5105 6,3915 6,3837 86,44823325 86,24697885 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-07 13,6225 13,6075 6,3822 6,3745 86,9415195 86,74100875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-08 13,6505 13,6355 6,3701 6,3621 86,95505005 86,75041455 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-09 13,7225 13,7075 6,3499 6,3418 87,13650275 86,9302235 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-10 13,6925 13,6775 6,3393 6,3311 86,80086525 86,59362025 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-13 13,8305 13,8155 6,3061 6,2979 87,21651605 87,00863745 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-14 13,8625 13,8475 6,3003 6,2921 87,33790875 87,12985475 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-15 13,9175 13,9025 6,289 6,2811 87,5271575 87,32299275 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-16 13,9605 13,9455 6,2701 6,2622 87,53373105 87,3295101 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-17 13,9355 13,9205 6,2937 6,2858 87,70585635 87,5014789 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-20 13,7705 13,7555 6,3223 6,3145 87,06123215 86,85910475 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-21 13,9325 13,9175 6,2932 6,2853 87,680009 87,47566275 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-22 13,9175 13,9025 6,3257 6,3178 88,03792975 87,8332145 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-23 14,0705 14,0555 6,2873 6,2795 88,46545465 88,26151225 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-27 14,1125 14,0975 6,2953 6,2784 88,84242125 88,509744 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-28 14,1355 14,1205 6,2973 6,2894 89,01548415 88,8094727 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-29 14,2175 14,2025 6,2772 6,2694 89,246091 89,0411535 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-06-30 14,1205 14,1055 6,3038 6,2957 89,0128079 88,80399635 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-01 13,9625 13,9475 6,2849 6,2769 87,75291625 87,54706275 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-04 14,0055 13,9905 6,2662 6,2572 87,7612641 87,5413566 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-05 13,9575 13,9425 6,2618 6,2535 87,3990735 87,18942375 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-06 13,8755 13,8605 6,2754 6,268 87,0743127 86,877614 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-07 13,7955 13,7805 6,2927 6,2855 86,81094285 86,61733275 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-08 13,7455 13,7305 6,3016 6,2945 86,6186428 86,42663225 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-11 13,7425 13,7275 6,2975 6,2903 86,54339375 86,35009325 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-12 13,7325 13,7175 6,294 6,2854 86,432355 86,2199745 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-13 13,6455 13,6305 6,3035 6,2951 86,01440925 85,80536055 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-14 13,6705 13,6555 6,2841 6,2755 85,90678905 85,69509025 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-15 13,6805 13,6655 6,2686 6,2601 85,7575823 85,54739655 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-18 13,6225 13,6075 6,277 6,2685 85,5084325 85,29861375 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-19 13,7025 13,6875 6,2545 6,246 85,70228625 85,492125 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-20 13,5825 13,5675 6,2912 6,2828 85,450224 85,241889 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-21 13,5825 13,5675 6,2825 6,2741 85,33205625 85,12385175 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-22 13,6105 13,5955 6,2818 6,2735 85,4984389 85,29136925 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-25 13,5875 13,5725 6,3015 6,293 85,62163125 85,4117425 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-26 13,6305 13,6155 6,2813 6,2729 85,61725965 85,40866995 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-27 13,7055 13,6905 6,271 6,2626 85,9471905 85,7381253 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-28 13,6655 13,6505 6,2791 6,2703 85,80704105 85,59273015 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-07-29 13,5975 13,5825 6,282 6,2728 85,419495 85,200306 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-02 13,6355 13,6205 6,2645 6,2556 85,41958975 85,2043998 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-03 13,6005 13,5855 6,2627 6,2537 85,17585135 84,95964135 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-04 13,5175 13,5025 6,2891 6,2801 85,01290925 84,79705025 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-05 13,4275 13,4125 6,296 6,2872 84,53954 84,32707 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-08 13,4375 13,4225 6,2505 6,2505 83,99109375 83,89733625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-09 13,4755 13,4605 6,2585 6,2496 84,33641675 84,1227408 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-10 13,5305 13,5155 6,258 6,2494 84,673869 84,4637657 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-11 13,5455 13,5305 6,2475 6,2389 84,62551125 84,41543645 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-12 13,5225 13,5075 6,2698 6,2612 84,7833705 84,573159 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-15 13,6175 13,6025 6,2714 6,2629 85,4007895 85,19109725 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-16 13,6355 13,6205 6,2698 6,2612 85,4918579 85,2806746 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-17 13,7125 13,6975 6,2676 6,2593 85,944465 85,73676175 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-18 13,7405 13,7255 6,2612 6,2529 86,0320186 85,82417895 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-19 13,7775 13,7625 6,2609 6,2526 86,25954975 86,0514075 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-22 13,8405 13,8255 6,2635 6,2555 86,68997175 86,48541525 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-23 13,7805 13,7655 6,2682 6,2598 86,3789301 86,1692769 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-24 13,7555 13,7405 6,2817 6,2725 86,40792435 86,18728625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-25 13,7055 13,6905 6,2943 6,2854 86,26652865 86,0502687 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-26 13,6875 13,6725 6,2974 6,2885 86,1956625 85,97951625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-08-30 13,6825 13,6675 6,2968 6,2877 86,155966 85,93713975 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-01 13,6375 13,6225 6,3264 6,3174 86,27628 86,0587815 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-02 13,6475 13,6325 6,3424 6,3339 86,557904 86,34689175 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-05 13,6855 13,6705 6,3277 6,3184 86,59773835 86,3756872 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-06 13,7625 13,7475 6,3145 6,3035 86,90330625 86,65736625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-07 13,7105 13,6955 6,2988 6,288 86,3596974 86,117304 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-08 13,7855 13,7705 6,2878 6,2771 86,6804669 86,43880555 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-09 13,8275 13,8125 6,2903 6,2796 86,97912325 86,736975 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-12 13,8055 13,7905 6,3146 6,3037 87,1762103 86,93117485 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-13 13,7805 13,7655 6,2984 6,2876 86,7951012 86,5519578 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-14 13,8805 13,8655 6,3113 6,3004 87,60399965 87,3581962 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-15 13,8955 13,8805 6,3236 6,3129 87,8695838 87,62620845 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-16 13,7905 13,7755 6,3163 6,3059 87,10493515 86,86692545 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-19 13,8555 13,8405 6,3043 6,2934 87,34922865 87,1038027 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-20 13,8775 13,8625 6,3166 6,3059 87,6586165 87,41553875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-21 13,8375 13,8225 6,3132 6,3023 87,358905 87,11354175 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-22 13,8355 13,8205 6,3323 6,3208 87,61053665 87,3566164 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-23 13,8055 13,7905 6,344 6,3321 87,582092 87,32282505 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-26 13,8325 13,8175 6,3263 6,3149 87,50854475 87,25613075 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-27 13,8205 13,8055 6,3172 6,3049 87,3068626 87,04229695 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-28 13,8275 13,8125 6,3172 6,3055 87,351083 87,09471875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-29 13,7475 13,7325 6,3606 6,3489 87,4423485 87,18626925 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-09-30 13,6775 13,6625 6,3663 6,3539 87,07506825 86,81015875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-03 13,6775 13,6625 6,2455 6,2333 85,42282625 85,16246125 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-04 13,7375 13,7225 6,2186 6,2064 85,4280175 85,167324 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-05 13,7405 13,7255 6,2212 6,209 85,4823986 85,2216295 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-06 13,6705 13,6555 6,2207 6,2083 85,04007935 84,77744065 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-07 13,5955 13,5805 6,2143 6,202 84,48651565 84,226261 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-10 13,5675 13,5525 6,2225 6,2093 84,42376875 84,15153825 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-11 13,5855 13,5705 6,2269 6,2138 84,59554995 84,3243729 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-12 13,5955 13,5805 6,2247 6,2117 84,62790885 84,35799185 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-13 13,6675 13,6525 6,1936 6,1799 84,651028 84,37108475 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-14 13,7555 13,7405 6,1784 6,1653 84,9869812 84,71430465 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-17 13,8475 13,8325 6,1684 6,1557 85,416919 85,14872025 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-18 13,8225 13,8075 6,1715 6,158 85,30555875 85,026585 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-19 13,8975 13,8825 6,1685 6,155 85,72672875 85,4467875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-20 13,9905 13,9755 6,1457 6,1323 85,98141585 85,70195865 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-21 14,0025 13,9875 6,1393 6,1257 85,96554825 85,68322875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-24 14,1375 14,1225 6,1491 6,1356 86,93290125 86,650011 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-25 14,1225 14,1075 6,1401 6,1267 86,71356225 86,43242025 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-26 13,9955 13,9805 6,1267 6,1156 85,74622985 85,4991458 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-27 14,0405 14,0255 6,1147 6,1032 85,85344535 85,6004316 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-28 13,9655 13,9505 6,1281 6,1158 85,58198055 85,3184679 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-10-31 14,0725 14,0575 6,1017 6,0895 85,86617325 85,60314625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-01 14,1055 14,0905 6,1165 6,1036 86,27629075 86,0027758 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-02 14,0775 14,0625 6,1027 6,0899 85,91075925 85,63921875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-03 14,2125 14,1975 6,0796 6,0666 86,406315 86,1305535 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-04 14,1905 14,1755 6,0555 6,0413 85,93057275 85,63844815 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-07 14,2275 14,2125 6,0643 6,0505 86,27982825 85,99273125 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-08 14,1725 14,1575 6,0905 6,0775 86,31761125 86,04220625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-09 14,1525 14,1375 6,1136 6,0974 86,522724 86,2019925 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-10 14,2425 14,2275 6,0762 6,0624 86,5402785 86,252796 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-11 14,3475 14,3325 6,0971 6,0842 87,47814225 87,2017965 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-14 14,1905 14,1755 6,099 6,0834 86,5478595 86,2352367 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-15 14,2325 14,2175 6,0924 6,0792 86,710083 86,431026 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-16 14,2475 14,2325 6,0962 6,0834 86,8556095 86,5819905 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-17 14,1855 14,1705 6,1443 6,13 87,15996765 86,865165 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-18 14,0775 14,0625 6,1616 6,1496 86,739924 86,47875 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-21 13,9755 13,9605 6,1608 6,1462 86,1002604 85,8040251 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-22 13,9775 13,9625 6,1523 6,1432 85,99377325 85,77443 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-23 13,8705 13,8555 6,1731 6,1639 85,62398355 85,40391645 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-24 13,8725 13,8575 6,1659 6,157 85,53644775 85,3206275 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-25 13,8775 13,8625 6,1781 6,1688 85,73658275 85,51499 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-28 13,8505 13,8355 6,1845 6,1756 85,65841725 85,4425138 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-29 13,8325 13,8175 6,1854 6,1766 85,5595455 85,3451705 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-11-30 13,9255 13,9105 6,1668 6,1578 85,8757734 85,6580769 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-01 13,9955 13,9805 6,142 6,1333 85,960361 85,74660065 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-02 14,0055 13,9905 6,1429 6,134 86,03438595 85,817727 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-05 13,9175 13,9025 6,1266 6,1179 85,2669555 85,05410475 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-06 13,9455 13,9305 6,1338 6,125 85,5389079 85,3243125 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-07 13,9105 13,8955 6,1405 6,1317 85,41742525 85,20303735 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-08 13,8955 13,8805 6,1212 6,1124 85,0571346 84,8431682 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-12 14,0125 13,9975 6,0895 6,08 85,32911875 85,1048 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-13 14,0075 13,9925 6,0941 6,0845 85,36310575 85,13736625 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-14 13,9555 13,9405 6,1256 6,1159 85,4858108 85,25870395 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-15 13,9105 13,8955 6,156 6,1463 85,633038 85,40591165 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-16 13,9755 13,9605 6,1422 6,1332 85,8403161 85,6225386 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-19 13,9125 13,8975 6,1529 6,1438 85,60222125 85,3834605 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-20 13,8225 13,8075 6,1528 6,1486 85,047078 84,8967945 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-21 13,9605 13,9455 6,1476 6,1388 85,8235698 85,6086354 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-22 13,8975 13,8825 6,1672 6,1593 85,708662 85,50648225 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-23 13,8255 13,8105 6,1765 6,168 85,39320075 85,183164 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-29 13,6655 13,6505 6,2006 6,1928 84,7342993 84,5348164 840868 Ashburton Fund Managers Limited Ashburton Global Funds Sterling Managed Income Fund PC GBP 2005-12-30 13,7405 13,7255 6,1942 6,1862 85,1114051 84,9086881 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-03 9,0065 9,0015 2,9347 2,9347 26,43137555 26,41670205 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-04 9,0345 9,0295 2,9197 2,9197 26,37802965 26,36343115 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-05 9,0615 9,0565 2,9319 2,9319 26,56741185 26,55275235 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-07 9,0615 9,0565 2,9179 2,9179 26,44055085 26,42596135 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-10 9,08619 9,08119 2,9243 2,9243 26,570745417 26,556123917 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-11 9,08619 9,08119 2,9412 2,9412 26,724302028 26,709596028 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-12 9,0455 9,0405 2,9483 2,9483 26,66884765 26,65410615 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-13 9,0505 9,0455 2,9583 2,9583 26,77409415 26,75930265 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-14 9,0455 9,0405 2,9777 2,9777 26,93478535 26,91989685 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-17 9,0685 9,0635 3,0133 3,0133 27,32611105 27,31104455 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-18 9,0585 9,0535 3,0055 3,0055 27,22532175 27,21029425 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-19 9,0225 9,0175 2,9921 2,9921 26,99622225 26,98126175 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-20 9,0315 9,0265 2,979 2,979 26,9048385 26,8899435 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-21 9,0505 9,0455 2,9859 2,9859 27,02388795 27,00895845 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-24 9,0655 9,0605 2,9743 2,9743 26,96351665 26,94864515 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-25 9,0715 9,0665 3,0051 3,0051 27,26076465 27,24573915 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-26 9,0885 9,0835 3,023 3,023 27,4745355 27,4594205 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-27 9,0675 9,0625 3,0318 3,0318 27,4908465 27,4756875 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-28 9,0955 9,0905 3,036 3,036 27,613938 27,598758 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-01-31 9,1075 9,1025 3,0441 3,0441 27,72414075 27,70892025 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-01 9,1035 9,0985 3,065 3,065 27,9022275 27,8869025 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-02 9,0905 9,0855 3,0743 3,0743 27,94692415 27,93155265 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-03 9,0695 9,0645 3,1031 3,1031 28,14356545 28,12804995 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-04 9,0895 9,0845 3,1201 3,1201 28,36014895 28,34454845 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-07 9,0755 9,0705 3,1462 3,1462 28,5533381 28,5376071 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-08 9,0895 9,0845 3,1837 3,1837 28,93824115 28,92232265 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-09 9,0695 9,0645 3,1626 3,1626 28,6832007 28,6673877 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-10 9,0805 9,0755 3,1877 3,1877 28,94590985 28,92997135 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-11 9,0935 9,0885 3,1962 3,1962 29,0646447 29,0486637 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-14 9,1105 9,1055 3,2026 3,2026 29,1772873 29,1612743 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-15 9,0765 9,0715 3,2237 3,2237 29,25991305 29,24379455 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-16 9,0705 9,0655 3,2861 3,2861 29,80657005 29,79013955 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-17 9,0925 9,0875 3,3088 3,3088 30,085264 30,06872 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-18 9,0945 9,0895 3,3033 3,3033 30,04186185 30,02534535 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-21 9,1185 9,1135 3,3386 3,3386 30,4430241 30,4263311 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-22 9,0975 9,0925 3,3195 3,3195 30,19915125 30,18255375 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-23 9,1045 9,0995 3,334 3,334 30,354403 30,337733 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-24 9,0715 9,0665 3,3459 3,3459 30,35233185 30,33560235 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-25 9,0845 9,0795 3,3969 3,3969 30,85913805 30,84215355 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-02-28 9,0505 9,0455 3,4316 3,4316 31,0576958 31,0405378 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-01 9,0565 9,0515 3,4267 3,4267 31,03390855 31,01677505 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-02 9,0645 9,0595 3,3986 3,3986 30,8066097 30,7896167 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-03 9,0675 9,0625 3,3664 3,3664 30,524832 30,508 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-04 9,0415 9,0365 3,3732 3,3732 30,4987878 30,4819218 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-07 9,0425 9,0375 3,4522 3,4522 31,2165185 31,1992575 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-08 9,0345 9,0295 3,4665 3,4665 31,31809425 31,30076175 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-09 9,0365 9,0315 3,4777 3,4777 31,42623605 31,40884755 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-10 9,0655 9,0605 3,4416 3,4416 31,1998248 31,1826168 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-11 9,0795 9,0745 3,396 3,396 30,833982 30,817002 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-14 9,0695 9,0645 3,3766 3,3766 30,6240737 30,6071907 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-15 9,1035 9,0985 3,3676 3,3676 30,6569466 30,6401086 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-16 9,0975 9,0925 3,2858 3,2858 29,8925655 29,8761365 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-17 9,1045 9,0995 3,2369 3,2369 29,47035605 29,45417155 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-18 9,1035 9,0985 3,2606 3,2606 29,6828721 29,6665691 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-21 9,1265 9,1215 3,2095 3,2095 29,29150175 29,27545425 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-22 9,1265 9,1215 3,208 3,208 29,277812 29,261772 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-23 9,1165 9,1115 3,2088 3,2088 29,2530252 29,2369812 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-24 9,1135 9,1085 3,2431 3,2431 29,55599185 29,53977635 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-29 9,1315 9,1265 3,2353 3,2353 29,54314195 29,52696545 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-30 9,1425 9,1375 3,248 3,248 29,69484 29,6786 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-03-31 9,1405 9,1355 3,295 3,295 30,1179475 30,1014725 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-01 9,1645 9,1595 3,314 3,314 30,371153 30,354583 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-04 9,1695 9,1645 3,2926 3,2926 30,1914957 30,1750327 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-05 9,1745 9,1695 3,3176 3,3176 30,4373212 30,4207332 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-06 9,1705 9,1655 3,3365 3,3365 30,59737325 30,58069075 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-07 9,1505 9,1455 3,3592 3,3592 30,7383596 30,7215636 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-08 9,1625 9,1575 3,3639 3,3639 30,82173375 30,80491425 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-11 9,1705 9,1655 3,3457 3,3457 30,68174185 30,66501335 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-12 9,1525 9,1475 3,3619 3,3619 30,76978975 30,75298025 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-13 9,1495 9,1445 3,3762 3,3762 30,8905419 30,8736609 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-14 9,1685 9,1635 3,3552 3,3552 30,7621512 30,7453752 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-15 9,1925 9,1875 3,3035 3,3035 30,36742375 30,35090625 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-18 9,1805 9,1755 3,2347 3,2347 29,69616335 29,67998985 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-19 9,2035 9,1985 3,2436 3,2436 29,8524726 29,8362546 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-20 9,1915 9,1865 3,2418 3,2418 29,7970047 29,7807957 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-21 9,1855 9,1805 3,2273 3,2273 29,64436415 29,62822765 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-22 9,1625 9,1575 3,2527 3,2527 29,80286375 29,78660025 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-25 9,1685 9,1635 3,2597 3,2597 29,88655945 29,87026095 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-26 9,1375 9,1325 3,2424 3,2424 29,62743 29,611218 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-27 9,1465 9,1415 3,2121 3,2121 29,37947265 29,36341215 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-28 9,1505 9,1455 3,171 3,171 29,0162355 29,0003805 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-04-29 9,1705 9,1655 3,1573 3,1573 28,95401965 28,93823315 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-02 9,1935 9,1885 3,1683 3,1683 29,12776605 29,11192455 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-03 9,2245 9,2195 3,1891 3,1891 29,41785295 29,40190745 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-04 9,1915 9,1865 3,2033 3,2033 29,44313195 29,42711545 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-06 9,1715 9,1665 3,223 3,223 29,5597445 29,5436295 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-09 9,1815 9,1765 3,2318 3,2318 29,6727717 29,6566127 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-10 9,1985 9,1935 3,2006 3,2006 29,4407191 29,4247161 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-11 9,2105 9,2055 3,1826 3,1826 29,3133373 29,2974243 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-12 9,2315 9,2265 3,2053 3,2053 29,58972695 29,57370045 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-13 9,2045 9,1995 3,1763 3,1763 29,23625335 29,22037185 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-17 9,2325 9,2275 3,1555 3,1555 29,13315375 29,11737625 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-18 9,2095 9,2045 3,187 3,187 29,3506765 29,3347415 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-19 9,1905 9,1855 3,2233 3,2233 29,62373865 29,60762215 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-20 9,1955 9,1905 3,2296 3,2296 29,6977868 29,6816388 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-23 9,1805 9,1755 3,2278 3,2278 29,6328179 29,6166789 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-24 9,1815 9,1765 3,2164 3,2164 29,5313766 29,5152946 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-25 9,1785 9,1735 3,2078 3,2078 29,4427923 29,4267533 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-26 9,1945 9,1895 3,2235 3,2235 29,63847075 29,62235325 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-27 9,1955 9,1905 3,2478 3,2478 29,8651449 29,8489059 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-30 9,1905 9,1855 3,2605 3,2605 29,96562525 29,94932275 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-05-31 9,1665 9,1615 3,295 3,295 30,2036175 30,1871425 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-01 9,1455 9,1405 3,2858 3,2858 30,0502839 30,0338549 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-02 9,1565 9,1515 3,3134 3,3134 30,3391471 30,3225801 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-03 9,1315 9,1265 3,3294 3,3294 30,4024161 30,3857691 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-07 9,1455 9,1405 3,3859 3,3859 30,96574845 30,94881895 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-08 9,1455 9,1405 3,3994 3,3994 31,0892127 31,0722157 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-09 9,1965 9,1915 3,4184 3,4184 31,4373156 31,4202236 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-10 9,1975 9,1925 3,4518 3,4518 31,7479305 31,7306715 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-13 9,2365 9,2315 3,4736 3,4736 32,0839064 32,0665384 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-14 9,2985 9,2935 3,4641 3,4641 32,21093385 32,19361335 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-15 9,2695 9,2645 3,4573 3,4573 32,04744235 32,03015585 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-16 9,2695 9,2645 3,5054 3,5054 32,4933053 32,4757783 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-17 9,2695 9,2645 3,5207 3,5207 32,63512865 32,61752515 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-20 9,2255 9,2205 3,515 3,515 32,4276325 32,4100575 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-21 9,2725 9,2675 3,5344 3,5344 32,772724 32,755052 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-22 9,2615 9,2565 3,5359 3,5359 32,74773785 32,73005835 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-27 9,3855 9,3805 3,4968 3,4968 32,8192164 32,8017324 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-28 9,3995 9,3945 3,5056 3,5056 32,9508872 32,9333592 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-29 9,4215 9,4165 3,5223 3,5223 33,18534945 33,16773795 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-06-30 9,4415 9,4365 3,5389 3,5389 33,41252435 33,39482985 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-01 9,4595 9,4545 3,5587 3,5587 33,66352265 33,64572915 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-04 9,4795 9,4745 3,5763 3,5763 33,90153585 33,88365435 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-05 9,4575 9,4525 3,5784 3,5784 33,842718 33,824826 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-06 9,4195 9,4145 3,5736 3,5736 33,6615252 33,6436572 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-07 9,3965 9,3915 3,5016 3,5016 32,9027844 32,8852764 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-08 9,4175 9,4125 3,5969 3,5969 33,87380575 33,85582125 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-11 9,4665 9,4615 3,5862 3,5862 33,9487623 33,9308313 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-12 9,4645 9,4595 3,5905 3,5905 33,98228725 33,96433475 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-13 9,3915 9,3865 3,6144 3,6144 33,9446376 33,9265656 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-14 9,3675 9,3625 3,6225 3,6225 33,93376875 33,91565625 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-15 9,4055 9,4005 3,6282 3,6282 34,1250351 34,1068941 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-18 9,3895 9,3845 3,6096 3,6096 33,8923392 33,8742912 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-19 9,4425 9,4375 3,6242 3,6242 34,2215085 34,2033875 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-20 9,4265 9,4215 3,6496 3,6496 34,4029544 34,3847064 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-21 9,4625 9,4575 3,6465 3,6465 34,50500625 34,48677375 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-22 9,4495 9,4445 3,6227 3,6227 34,23270365 34,21459015 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-25 9,4275 9,4225 3,6429 3,6429 34,34343975 34,32522525 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-26 9,4155 9,4105 3,6557 3,6557 34,42024335 34,40196485 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-27 9,4725 9,4675 3,6766 3,6766 34,8265935 34,8082105 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-28 9,4515 9,4465 3,6997 3,6997 34,96771455 34,94921605 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-07-29 9,3885 9,3835 3,7057 3,7057 34,79096445 34,77243595 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-01 9,3985 9,3935 3,7438 3,7438 35,1861043 35,1673853 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-02 9,3995 9,3945 3,7788 3,7788 35,5188306 35,4999366 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-03 9,3755 9,3705 3,767 3,767 35,3175085 35,2986735 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-04 9,3735 9,3685 3,7596 3,7596 35,2406106 35,2218126 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-05 9,3355 9,3305 3,7704 3,7704 35,1985692 35,1797172 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-08 9,3335 9,3285 3,8277 3,8277 35,72583795 35,70669945 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-09 9,3455 9,3405 3,8316 3,8316 35,8082178 35,7890598 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-10 9,3535 9,3485 3,8326 3,8326 35,8482241 35,8290611 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-11 9,3365 9,3315 3,8139 3,8139 35,60847735 35,58940785 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-12 9,3025 9,2975 3,7701 3,7701 35,07135525 35,05250475 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-16 9,2995 9,2945 3,8112 3,8112 35,4422544 35,4231984 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-17 9,3405 9,3355 3,8 3,8 35,4939 35,4749 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-18 9,3365 9,3315 3,7833 3,7833 35,32278045 35,30386395 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-19 9,3395 9,3345 3,7747 3,7747 35,25381065 35,23493715 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-22 9,3655 9,3605 3,7972 3,7972 35,5626766 35,5436906 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-23 9,3715 9,3665 3,788 3,788 35,499242 35,480302 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-24 9,3365 9,3315 3,8244 3,8244 35,7065106 35,6873886 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-25 9,3335 9,3285 3,8108 3,8108 35,5681018 35,5490478 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-26 9,3415 9,3365 3,832 3,832 35,796628 35,777468 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-29 9,3295 9,3245 3,8346 3,8346 35,7749007 35,7557277 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-30 9,3285 9,3235 3,8846 3,8846 36,2374911 36,2180681 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-08-31 9,3585 9,3535 3,9119 3,9119 36,60951615 36,58995665 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-01 9,3365 9,3315 3,9848 3,9848 37,2040852 37,1841612 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-02 9,3025 9,2975 4,0287 4,0287 37,47698175 37,45683825 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-05 9,2845 9,2795 3,9957 3,9957 37,09807665 37,07809815 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-06 9,3225 9,3175 3,9879 3,9879 37,17719775 37,15725825 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-07 9,3075 9,3025 4,0307 4,0307 37,51574025 37,49558675 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-08 9,3255 9,3205 4,0166 4,0166 37,4568033 37,4367203 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-09 9,3445 9,3395 4,0539 4,0539 37,88166855 37,86139905 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-12 9,3015 9,2965 4,0843 4,0843 37,99011645 37,96969495 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-13 9,3015 9,2965 4,1035 4,1035 38,16870525 38,14818775 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-14 9,3365 9,3315 4,0584 4,0584 37,8912516 37,8709596 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-15 9,3425 9,3375 4,1068 4,1068 38,367779 38,347245 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-16 9,3465 9,3415 4,1561 4,1561 38,84498865 38,82420815 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-19 9,3355 9,3305 4,1674 4,1674 38,9047627 38,8839257 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-20 9,3395 9,3345 4,1589 4,1589 38,84204655 38,82125205 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-21 9,3405 9,3355 4,1638 4,1638 38,8919739 38,8711549 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-22 9,3405 9,3355 4,1551 4,1551 38,81071155 38,78993605 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-23 9,3695 9,3645 4,1412 4,1412 38,8009734 38,7802674 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-26 9,3815 9,3765 4,171 4,171 39,1302365 39,1093815 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-27 9,3885 9,3835 4,2446 4,2446 39,8504271 39,8292041 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-28 9,3935 9,3885 4,2625 4,2625 40,03979375 40,01848125 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-29 9,3845 9,3795 4,2287 4,2287 39,68423515 39,66309165 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-09-30 9,3435 9,3385 4,2048 4,2048 39,2875488 39,2665248 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-03 9,3025 9,2975 4,2433 4,2433 39,47329825 39,45208175 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-04 9,3185 9,3135 4,2764 4,2764 39,8496334 39,8282514 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-05 9,3105 9,3055 4,2626 4,2626 39,6869373 39,6656243 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-06 9,3015 9,2965 4,1054 4,1054 38,1863781 38,1658511 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-07 9,3385 9,3335 4,0817 4,0817 38,11695545 38,09654695 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-10 9,3465 9,3415 4,1141 4,1141 38,45243565 38,43186515 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-11 9,3395 9,3345 4,1554 4,1554 38,8093583 38,7885813 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-12 9,3375 9,3325 4,1333 4,1333 38,59468875 38,57402225 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-13 9,3815 9,3765 4,0176 4,0176 37,6911144 37,6710264 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-14 9,4135 9,4085 3,9211 3,9211 36,91127485 36,89166935 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-17 9,4575 9,4525 3,9708 3,9708 37,553841 37,533987 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-18 9,4625 9,4575 4,0216 4,0216 38,05439 38,034282 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-19 9,4605 9,4555 3,8551 3,8551 36,47117355 36,45189805 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-20 9,4935 9,4885 3,8852 3,8852 36,8841462 36,8647202 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-21 9,4915 9,4865 3,8494 3,8494 36,5365801 36,5173331 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-24 9,5455 9,5405 3,8801 3,8801 37,03749455 37,01809405 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-25 9,5465 9,5415 3,9066 3,9066 37,2943569 37,2748239 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-26 9,4975 9,4925 3,9168 3,9168 37,199808 37,180224 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-27 9,5355 9,5305 3,8265 3,8265 36,48759075 36,46845825 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-28 9,5135 9,5085 3,8175 3,8175 36,31778625 36,29869875 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-10-31 9,5495 9,5445 3,878 3,878 37,032961 37,013571 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-02 9,5855 9,5805 3,9636 3,9636 37,9930878 37,9732698 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-03 9,6515 9,6465 4,0249 4,0249 38,84632235 38,82619785 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-04 9,5875 9,5825 4,0555 4,0555 38,88210625 38,86182875 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-07 9,6075 9,6025 4,0502 4,0502 38,9122965 38,8920455 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-08 9,5685 9,5635 4,0555 4,0555 38,80505175 38,78477425 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-09 9,5575 9,5525 4,0472 4,0472 38,681114 38,660878 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-10 9,6105 9,6055 3,9938 3,9938 38,3824149 38,3624459 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-11 9,6365 9,6315 4,0118 4,0118 38,6597107 38,6396517 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-14 9,5505 9,5455 3,9889 3,9889 38,09598945 38,07604495 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-15 9,5805 9,5755 3,9509 3,9509 37,85159745 37,83184295 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-16 9,6235 9,6185 3,9389 3,9389 37,90600415 37,88630965 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-17 9,6355 9,6305 3,9875 3,9875 38,42155625 38,40161875 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-18 9,6085 9,6035 3,9921 3,9921 38,35809285 38,33813235 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-21 9,5915 9,5865 3,9782 3,9782 38,1569053 38,1370143 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-22 9,5585 9,5535 3,968 3,968 37,928128 37,908288 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-23 9,5155 9,5105 3,9976 3,9976 38,0391628 38,0191748 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-24 9,5125 9,5075 4,0271 4,0271 38,30778875 38,28765325 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-25 9,4965 9,4915 4,0453 4,0453 38,41619145 38,39596495 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-28 9,4835 9,4785 4,0687 4,0687 38,58551645 38,56517295 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-29 9,4785 9,4735 4,0331 4,0331 38,22773835 38,20757285 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-11-30 9,5295 9,5245 4,0186 4,0186 38,2952487 38,2751557 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-01 9,5165 9,5115 4,0297 4,0297 38,34864005 38,32849155 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-02 9,4905 9,4855 4,0974 4,0974 38,8863747 38,8658877 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-05 9,4065 9,4015 4,1014 4,1014 38,5798191 38,5593121 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-06 9,4185 9,4135 4,0771 4,0771 38,40016635 38,37978085 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-07 9,4255 9,4205 4,0975 4,0975 38,62098625 38,60049875 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-08 9,3965 9,3915 4,0779 4,0779 38,31798735 38,29759785 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-12 9,4315 9,4265 4,0854 4,0854 38,5314501 38,5110231 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-13 9,4295 9,4245 4,0954 4,0954 38,6175743 38,5970973 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-14 9,4365 9,4315 4,0962 4,0962 38,6537913 38,6333103 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-15 9,4345 9,4295 4,1177 4,1177 38,84844065 38,82785215 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-16 9,4765 9,4715 4,1109 4,1109 38,95694385 38,93638935 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-19 9,4535 9,4485 4,1192 4,1192 38,9408572 38,9202612 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-20 9,4015 9,3965 4,1685 4,1685 39,19015275 39,16931025 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-21 9,4485 9,4435 4,1875 4,1875 39,56559375 39,54465625 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-22 9,4365 9,4315 4,1711 4,1711 39,36058515 39,33972965 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-23 9,4425 9,4375 4,1682 4,1682 39,3582285 39,3373875 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-27 9,4915 9,4865 4,1941 4,1941 39,80830015 39,78732965 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-28 9,4345 9,4295 4,1781 4,1781 39,41828445 39,39739395 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-29 9,4115 9,4065 4,1854 4,1854 39,3908921 39,3699651 288183 Aviva Fund Services S.A. Aviva Morley - European Convergence Equity Fund EUR 2005-12-30 9,4325 9,4275 4,1792 4,1792 39,420304 39,399408 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-03 9,0065 9,0015 2,5014 2,5014 22,5288591 22,5163521 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-04 9,0345 9,0295 2,503 2,503 22,6133535 22,6008385 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-05 9,0615 9,0565 2,5023 2,5023 22,67459145 22,66207995 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-07 9,0615 9,0565 2,5066 2,5066 22,7135559 22,7010229 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-10 9,08619 9,08119 2,5078 2,5078 22,786347282 22,773808282 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-11 9,08619 9,08119 2,5086 2,5086 22,793616234 22,781073234 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-12 9,0455 9,0405 2,5069 2,5069 22,67616395 22,66362945 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-13 9,0505 9,0455 2,5069 2,5069 22,68869845 22,67616395 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-14 9,0455 9,0405 2,5098 2,5098 22,7023959 22,6898469 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-17 9,0685 9,0635 2,5106 2,5106 22,7673761 22,7548231 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-18 9,0585 9,0535 2,5102 2,5102 22,7386467 22,7260957 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-19 9,0225 9,0175 2,5111 2,5111 22,65639975 22,64384425 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-20 9,0315 9,0265 2,5087 2,5087 22,65732405 22,64478055 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-21 9,0505 9,0455 2,5064 2,5064 22,6841732 22,6716412 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-24 9,0655 9,0605 2,51 2,51 22,754405 22,741855 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-25 9,0715 9,0665 2,5118 2,5118 22,7857937 22,7732347 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-26 9,0885 9,0835 2,5144 2,5144 22,8521244 22,8395524 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-27 9,0675 9,0625 2,5122 2,5122 22,7793735 22,7668125 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-28 9,0955 9,0905 2,5155 2,5155 22,87973025 22,86715275 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-01-31 9,1075 9,1025 2,5185 2,5185 22,93723875 22,92464625 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-01 9,1035 9,0985 2,5214 2,5214 22,9535649 22,9409579 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-02 9,0905 9,0855 2,5238 2,5238 22,9426039 22,9299849 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-03 9,0695 9,0645 2,5243 2,5243 22,89413885 22,88151735 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-04 9,0895 9,0845 2,5247 2,5247 22,94826065 22,93563715 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-07 9,0755 9,0705 2,5293 2,5293 22,95466215 22,94201565 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-08 9,0895 9,0845 2,5307 2,5307 23,00279765 22,99014415 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-09 9,0695 9,0645 2,5361 2,5361 23,00115895 22,98847845 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-10 9,0805 9,0755 2,5388 2,5388 23,0535734 23,0408794 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-11 9,0935 9,0885 2,5409 2,5409 23,10567415 23,09296965 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-14 9,1105 9,1055 2,5403 2,5403 23,14340315 23,13070165 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-15 9,0765 9,0715 2,5411 2,5411 23,06429415 23,05158865 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-16 9,0705 9,0655 2,5422 2,5422 23,0590251 23,0463141 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-17 9,0925 9,0875 2,5402 2,5402 23,0967685 23,0840675 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-18 9,0945 9,0895 2,538 2,538 23,081841 23,069151 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-21 9,1185 9,1135 2,5352 2,5352 23,1172212 23,1045452 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-22 9,0975 9,0925 2,533 2,533 23,0439675 23,0313025 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-23 9,1045 9,0995 2,5318 2,5318 23,0507731 23,0381141 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-24 9,0715 9,0665 2,5311 2,5311 22,96087365 22,94821815 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-25 9,0845 9,0795 2,5313 2,5313 22,99559485 22,98293835 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-02-28 9,0505 9,0455 2,5354 2,5354 22,9466377 22,9339607 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-01 9,0565 9,0515 2,534 2,534 22,949171 22,936501 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-02 9,0645 9,0595 2,5358 2,5358 22,9857591 22,9730801 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-03 9,0675 9,0625 2,5354 2,5354 22,9897395 22,9770625 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-04 9,0415 9,0365 2,5371 2,5371 22,93918965 22,92650415 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-07 9,0425 9,0375 2,5438 2,5438 23,0023115 22,9895925 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-08 9,0345 9,0295 2,5456 2,5456 22,9982232 22,9854952 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-09 9,0365 9,0315 2,5422 2,5422 22,9725903 22,9598793 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-10 9,0655 9,0605 2,5384 2,5384 23,0118652 22,9991732 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-11 9,0795 9,0745 2,5369 2,5369 23,03378355 23,02109905 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-14 9,0695 9,0645 2,5358 2,5358 22,9984381 22,9857591 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-15 9,1035 9,0985 2,5343 2,5343 23,07100005 23,05832855 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-16 9,0975 9,0925 2,5346 2,5346 23,0585235 23,0458505 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-17 9,1045 9,0995 2,5299 2,5299 23,03347455 23,02082505 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-18 9,1035 9,0985 2,5259 2,5259 22,99453065 22,98190115 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-21 9,1265 9,1215 2,522 2,522 23,017033 23,004423 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-22 9,1265 9,1215 2,5086 2,5086 22,8947379 22,8821949 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-23 9,1165 9,1115 2,5046 2,5046 22,8331859 22,8206629 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-24 9,1135 9,1085 2,5061 2,5061 22,83934235 22,82681185 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-29 9,1315 9,1265 2,507 2,507 22,8926705 22,8801355 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-30 9,1425 9,1375 2,5095 2,5095 22,94310375 22,93055625 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-03-31 9,1405 9,1355 2,5073 2,5073 22,91797565 22,90543915 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-01 9,1645 9,1595 2,5066 2,5066 22,9717357 22,9592027 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-04 9,1695 9,1645 2,5055 2,5055 22,97418225 22,96165475 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-05 9,1745 9,1695 2,5006 2,5006 22,9417547 22,9292517 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-06 9,1705 9,1655 2,5022 2,5022 22,9464251 22,9339141 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-07 9,1505 9,1455 2,5072 2,5072 22,9421336 22,9295976 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-08 9,1625 9,1575 2,5121 2,5121 23,01711625 23,00455575 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-11 9,1705 9,1655 2,5122 2,5122 23,0381301 23,0255691 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-12 9,1525 9,1475 2,5118 2,5118 22,9892495 22,9766905 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-13 9,1495 9,1445 2,5144 2,5144 23,0055028 22,9929308 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-14 9,1685 9,1635 2,5132 2,5132 23,0422742 23,0297082 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-15 9,1925 9,1875 2,5092 2,5092 23,065821 23,053275 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-18 9,1805 9,1755 2,5043 2,5043 22,99072615 22,97820465 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-19 9,2035 9,1985 2,5013 2,5013 23,02071455 23,00820805 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-20 9,1915 9,1865 2,5043 2,5043 23,01827345 23,00575195 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-21 9,1855 9,1805 2,5093 2,5093 23,04917515 23,03662865 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-22 9,1625 9,1575 2,5128 2,5128 23,02353 23,010966 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-25 9,1685 9,1635 2,5153 2,5153 23,06152805 23,04895155 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-26 9,1375 9,1325 2,5158 2,5158 22,9881225 22,9755435 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-27 9,1465 9,1415 2,5134 2,5134 22,9888131 22,9762461 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-28 9,1505 9,1455 2,5151 2,5151 23,01442255 23,00184705 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-04-29 9,1705 9,1655 2,515 2,515 23,0638075 23,0512325 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-02 9,1935 9,1885 2,5129 2,5129 23,10234615 23,08978165 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-03 9,2245 9,2195 2,5132 2,5132 23,1830134 23,1704474 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-04 9,1915 9,1865 2,5126 2,5126 23,0945629 23,0819999 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-06 9,1715 9,1665 2,5097 2,5097 23,01771355 23,00516505 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-09 9,1815 9,1765 2,5009 2,5009 22,96201335 22,94950885 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-10 9,1985 9,1935 2,5027 2,5027 23,02108595 23,00857245 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-11 9,2105 9,2055 2,5009 2,5009 23,03453945 23,02203495 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-12 9,2315 9,2265 2,4972 2,4972 23,0529018 23,0404158 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-13 9,2045 9,1995 2,4941 2,4941 22,95694345 22,94447295 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-17 9,2325 9,2275 2,4848 2,4848 22,940916 22,928492 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-18 9,2095 9,2045 2,4773 2,4773 22,81469435 22,80230785 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-19 9,1905 9,1855 2,4813 2,4813 22,80438765 22,79198115 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-20 9,1955 9,1905 2,4854 2,4854 22,8544957 22,8420687 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-23 9,1805 9,1755 2,4865 2,4865 22,82731325 22,81488075 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-24 9,1815 9,1765 2,496 2,496 22,917024 22,904544 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-25 9,1785 9,1735 2,498 2,498 22,927893 22,915403 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-26 9,1945 9,1895 2,503 2,503 23,0138335 23,0013185 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-27 9,1955 9,1905 2,5073 2,5073 23,05587715 23,04334065 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-30 9,1905 9,1855 2,5081 2,5081 23,05069305 23,03815255 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-05-31 9,1665 9,1615 2,51 2,51 23,007915 22,995365 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-01 9,1455 9,1405 2,5148 2,5148 22,9991034 22,9865294 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-02 9,1565 9,1515 2,5217 2,5217 23,08994605 23,07733755 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-03 9,1315 9,1265 2,529 2,529 23,0935635 23,0809185 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-07 9,1455 9,1405 2,5354 2,5354 23,1875007 23,1748237 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-08 9,1455 9,1405 2,5387 2,5387 23,21768085 23,20498735 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-09 9,1965 9,1915 2,5408 2,5408 23,3664672 23,3537632 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-10 9,1975 9,1925 2,5404 2,5404 23,365329 23,352627 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-13 9,2365 9,2315 2,5392 2,5392 23,4533208 23,4406248 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-14 9,2985 9,2935 2,5387 2,5387 23,60610195 23,59340845 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-15 9,2695 9,2645 2,5377 2,5377 23,52321015 23,51052165 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-16 9,2695 9,2645 2,5351 2,5351 23,49910945 23,48643395 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-17 9,2695 9,2645 2,5328 2,5328 23,4777896 23,4651256 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-20 9,2255 9,2205 2,5346 2,5346 23,3829523 23,3702793 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-21 9,2725 9,2675 2,5395 2,5395 23,54751375 23,53481625 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-22 9,2615 9,2565 2,5455 2,5455 23,57514825 23,56242075 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-27 9,3855 9,3805 2,5524 2,5524 23,9555502 23,9427882 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-28 9,3995 9,3945 2,5526 2,5526 23,9931637 23,9804007 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-29 9,4215 9,4165 2,55 2,55 24,024825 24,012075 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-06-30 9,4415 9,4365 2,5508 2,5508 24,0833782 24,0706242 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-01 9,4595 9,4545 2,5535 2,5535 24,15483325 24,14206575 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-04 9,4795 9,4745 2,5523 2,5523 24,19452785 24,18176635 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-05 9,4575 9,4525 2,5496 2,5496 24,112842 24,100094 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-06 9,4195 9,4145 2,5515 2,5515 24,03385425 24,02109675 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-07 9,3965 9,3915 2,5572 2,5572 24,0287298 24,0159438 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-08 9,4175 9,4125 2,5536 2,5536 24,048528 24,03576 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-11 9,4665 9,4615 2,5559 2,5559 24,19542735 24,18264785 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-12 9,4645 9,4595 2,5545 2,5545 24,17706525 24,16429275 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-13 9,3915 9,3865 2,5577 2,5577 24,02063955 24,00785105 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-14 9,3675 9,3625 2,558 2,558 23,962065 23,949275 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-15 9,4055 9,4005 2,5593 2,5593 24,07149615 24,05869965 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-18 9,3895 9,3845 2,5632 2,5632 24,0671664 24,0543504 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-19 9,4425 9,4375 2,5624 2,5624 24,195462 24,18265 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-20 9,4265 9,4215 2,5623 2,5623 24,15352095 24,14070945 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-21 9,4625 9,4575 2,564 2,564 24,26185 24,24903 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-22 9,4495 9,4445 2,5648 2,5648 24,2360776 24,2232536 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-25 9,4275 9,4225 2,5679 2,5679 24,20887725 24,19603775 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-26 9,4155 9,4105 2,5676 2,5676 24,1752378 24,1623998 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-27 9,4725 9,4675 2,5655 2,5655 24,30169875 24,28887125 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-28 9,4515 9,4465 2,5621 2,5621 24,21568815 24,20287765 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-07-29 9,3885 9,3835 2,5635 2,5635 24,06741975 24,05460225 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-01 9,3985 9,3935 2,559 2,559 24,0507615 24,0379665 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-02 9,3995 9,3945 2,5577 2,5577 24,04110115 24,02831265 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-03 9,3755 9,3705 2,5566 2,5566 23,9694033 23,9566203 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-04 9,3735 9,3685 2,5566 2,5566 23,9642901 23,9515071 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-05 9,3355 9,3305 2,558 2,558 23,880209 23,867419 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-08 9,3335 9,3285 2,556 2,556 23,856426 23,843646 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-09 9,3455 9,3405 2,5559 2,5559 23,88616345 23,87338395 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-10 9,3535 9,3485 2,5558 2,5558 23,9056753 23,8928963 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-11 9,3365 9,3315 2,5578 2,5578 23,8808997 23,8681107 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-12 9,3025 9,2975 2,5607 2,5607 23,82091175 23,80810825 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-16 9,2995 9,2945 2,5654 2,5654 23,8569373 23,8441103 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-17 9,3405 9,3355 2,5699 2,5699 24,00415095 23,99130145 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-18 9,3365 9,3315 2,5716 2,5716 24,0097434 23,9968854 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-19 9,3395 9,3345 2,5742 2,5742 24,0417409 24,0288699 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-22 9,3655 9,3605 2,5747 2,5747 24,11335285 24,10047935 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-23 9,3715 9,3665 2,5756 2,5756 24,1372354 24,1243574 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-24 9,3365 9,3315 2,5777 2,5777 24,06669605 24,05380755 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-25 9,3335 9,3285 2,5794 2,5794 24,0748299 24,0619329 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-26 9,3415 9,3365 2,58 2,58 24,10107 24,08817 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-29 9,3295 9,3245 2,5808 2,5808 24,0775736 24,0646696 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-30 9,3285 9,3235 2,5793 2,5793 24,06100005 24,04810355 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-08-31 9,3585 9,3535 2,5811 2,5811 24,15522435 24,14231885 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-01 9,3365 9,3315 2,5848 2,5848 24,1329852 24,1200612 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-02 9,3025 9,2975 2,5882 2,5882 24,0767305 24,0637895 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-05 9,2845 9,2795 2,5882 2,5882 24,0301429 24,0172019 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-06 9,3225 9,3175 2,587 2,587 24,1173075 24,1043725 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-07 9,3075 9,3025 2,5893 2,5893 24,09990975 24,08696325 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-08 9,3255 9,3205 2,5884 2,5884 24,1381242 24,1251822 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-09 9,3445 9,3395 2,5909 2,5909 24,21066505 24,19771055 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-12 9,3015 9,2965 2,5928 2,5928 24,1169292 24,1039652 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-13 9,3015 9,2965 2,5893 2,5893 24,08437395 24,07142745 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-14 9,3365 9,3315 2,5926 2,5926 24,2058099 24,1928469 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-15 9,3425 9,3375 2,5934 2,5934 24,2288395 24,2158725 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-16 9,3465 9,3415 2,5919 2,5919 24,22519335 24,21223385 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-19 9,3355 9,3305 2,5916 2,5916 24,1938818 24,1809238 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-20 9,3395 9,3345 2,5951 2,5951 24,23693645 24,22396095 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-21 9,3405 9,3355 2,5954 2,5954 24,2423337 24,2293567 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-22 9,3405 9,3355 2,5985 2,5985 24,27128925 24,25829675 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-23 9,3695 9,3645 2,5955 2,5955 24,31853725 24,30555975 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-26 9,3815 9,3765 2,5913 2,5913 24,31028095 24,29732445 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-27 9,3885 9,3835 2,5907 2,5907 24,32278695 24,30983345 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-28 9,3935 9,3885 2,5899 2,5899 24,32822565 24,31527615 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-29 9,3845 9,3795 2,59 2,59 24,305855 24,292905 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-09-30 9,3435 9,3385 2,5901 2,5901 24,20059935 24,18764885 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-03 9,3025 9,2975 2,5901 2,5901 24,09440525 24,08145475 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-04 9,3185 9,3135 2,5893 2,5893 24,12839205 24,11544555 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-05 9,3105 9,3055 2,5912 2,5912 24,1253676 24,1124116 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-06 9,3015 9,2965 2,5908 2,5908 24,0983262 24,0853722 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-07 9,3385 9,3335 2,5882 2,5882 24,1699057 24,1569647 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-10 9,3465 9,3415 2,5889 2,5889 24,19715385 24,18420935 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-11 9,3395 9,3345 2,5874 2,5874 24,1650223 24,1520853 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-12 9,3375 9,3325 2,5846 2,5846 24,1337025 24,1207795 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-13 9,3815 9,3765 2,5791 2,5791 24,19582665 24,18293115 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-14 9,4135 9,4085 2,5759 2,5759 24,24823465 24,23535515 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-17 9,4575 9,4525 2,5741 2,5741 24,34455075 24,33168025 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-18 9,4625 9,4575 2,5774 2,5774 24,3886475 24,3757605 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-19 9,4605 9,4555 2,5803 2,5803 24,41092815 24,39802665 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-20 9,4935 9,4885 2,5768 2,5768 24,4628508 24,4499668 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-21 9,4915 9,4865 2,578 2,578 24,469087 24,456197 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-24 9,5455 9,5405 2,5806 2,5806 24,6331173 24,6202143 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-25 9,5465 9,5415 2,5792 2,5792 24,6223328 24,6094368 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-26 9,4975 9,4925 2,5746 2,5746 24,4522635 24,4393905 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-27 9,5355 9,5305 2,5729 2,5729 24,53388795 24,52102345 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-28 9,5135 9,5085 2,5704 2,5704 24,4535004 24,4406484 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-10-31 9,5495 9,5445 2,5692 2,5692 24,5345754 24,5217294 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-02 9,5855 9,5805 2,5679 2,5679 24,61460545 24,60176595 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-03 9,6515 9,6465 2,5671 2,5671 24,77636565 24,76353015 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-04 9,5875 9,5825 2,5674 2,5674 24,6149475 24,6021105 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-07 9,6075 9,6025 2,566 2,566 24,652845 24,640015 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-08 9,5685 9,5635 2,5651 2,5651 24,54415935 24,53133385 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-09 9,5575 9,5525 2,5675 2,5675 24,53888125 24,52604375 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-10 9,6105 9,6055 2,5661 2,5661 24,66150405 24,64867355 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-11 9,6365 9,6315 2,5676 2,5676 24,7426774 24,7298394 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-14 9,5505 9,5455 2,5693 2,5693 24,53809965 24,52525315 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-15 9,5805 9,5755 2,5673 2,5673 24,59601765 24,58318115 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-16 9,6235 9,6185 2,5691 2,5691 24,72373385 24,71088835 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-17 9,6355 9,6305 2,5711 2,5711 24,77383405 24,76097855 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-18 9,6085 9,6035 2,567 2,567 24,6650195 24,6521845 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-21 9,5915 9,5865 2,5618 2,5618 24,5715047 24,5586957 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-22 9,5585 9,5535 2,5644 2,5644 24,5118174 24,4989954 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-23 9,5155 9,5105 2,566 2,566 24,416773 24,403943 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-24 9,5125 9,5075 2,568 2,568 24,4281 24,41526 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-25 9,4965 9,4915 2,5716 2,5716 24,4211994 24,4083414 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-28 9,4835 9,4785 2,5705 2,5705 24,37733675 24,36448425 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-29 9,4785 9,4735 2,5723 2,5723 24,38154555 24,36868405 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-11-30 9,5295 9,5245 2,5685 2,5685 24,47652075 24,46367825 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-01 9,5165 9,5115 2,5694 2,5694 24,4516951 24,4388481 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-02 9,4905 9,4855 2,5709 2,5709 24,39912645 24,38627195 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-05 9,4065 9,4015 2,5706 2,5706 24,1803489 24,1674959 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-06 9,4185 9,4135 2,5706 2,5706 24,2111961 24,1983431 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-07 9,4255 9,4205 2,5715 2,5715 24,23767325 24,22481575 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-08 9,3965 9,3915 2,5709 2,5709 24,15746185 24,14460735 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-12 9,4315 9,4265 2,5693 2,5693 24,23235295 24,21950645 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-13 9,4295 9,4245 2,5698 2,5698 24,2319291 24,2190801 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-14 9,4365 9,4315 2,5714 2,5714 24,2650161 24,2521591 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-15 9,4345 9,4295 2,5732 2,5732 24,2768554 24,2639894 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-16 9,4765 9,4715 2,5727 2,5727 24,38019155 24,36732805 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-19 9,4535 9,4485 2,5764 2,5764 24,3559974 24,3431154 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-20 9,4015 9,3965 2,5766 2,5766 24,2239049 24,2110219 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-21 9,4485 9,4435 2,5738 2,5738 24,3185493 24,3056803 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-22 9,4365 9,4315 2,5715 2,5715 24,26595975 24,25310225 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-23 9,4425 9,4375 2,5736 2,5736 24,301218 24,28835 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-27 9,4915 9,4865 2,575 2,575 24,4406125 24,4277375 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-28 9,4345 9,4295 2,5758 2,5758 24,3013851 24,2885061 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-29 9,4115 9,4065 2,5776 2,5776 24,2590824 24,2461944 543892 Aviva Fund Services S.A. Aviva Morley - European Corporate Bond Fund EUR 2005-12-30 9,4325 9,4275 2,5785 2,5785 24,32170125 24,30880875 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-03 9,0065 9,0015 4,9347 4,9347 44,44437555 44,41970205 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-04 9,0345 9,0295 4,9279 4,9279 44,52111255 44,49647305 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-05 9,0615 9,0565 4,8956 4,8956 44,3614794 44,3370014 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-07 9,0615 9,0565 4,9223 4,9223 44,60342145 44,57880995 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-10 9,08619 9,08119 4,9262 4,9262 44,760389178 44,735758178 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-11 9,08619 9,08119 4,8958 4,8958 44,484169002 44,459690002 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-12 9,0455 9,0405 4,8959 4,8959 44,28586345 44,26138395 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-13 9,0505 9,0455 4,8773 4,8773 44,14200365 44,11761715 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-14 9,0455 9,0405 4,9034 4,9034 44,3537047 44,3291877 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-17 9,0685 9,0635 4,9275 4,9275 44,68503375 44,66039625 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-18 9,0585 9,0535 4,9076 4,9076 44,4554946 44,4309566 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-19 9,0225 9,0175 4,934 4,934 44,517015 44,492345 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-20 9,0315 9,0265 4,9006 4,9006 44,2597689 44,2352659 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-21 9,0505 9,0455 4,901 4,901 44,3565005 44,3319955 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-24 9,0655 9,0605 4,8935 4,8935 44,36202425 44,33755675 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-25 9,0715 9,0665 4,9265 4,9265 44,69074475 44,66611225 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-26 9,0885 9,0835 4,944 4,944 44,933544 44,908824 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-27 9,0675 9,0625 4,9367 4,9367 44,76352725 44,73884375 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-28 9,0955 9,0905 4,9561 4,9561 45,07820755 45,05342705 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-01-31 9,1075 9,1025 4,9713 4,9713 45,27611475 45,25125825 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-01 9,1035 9,0985 4,9906 4,9906 45,4319271 45,4069741 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-02 9,0905 9,0855 5,0243 5,0243 45,67339915 45,64827765 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-03 9,0695 9,0645 5,0312 5,0312 45,6304684 45,6053124 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-04 9,0895 9,0845 5,0547 5,0547 45,94469565 45,91942215 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-07 9,0755 9,0705 5,1007 5,1007 46,29140285 46,26589935 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-08 9,0895 9,0845 5,0997 5,0997 46,35372315 46,32822465 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-09 9,0695 9,0645 5,0839 5,0839 46,10843105 46,08301155 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-10 9,0805 9,0755 5,0857 5,0857 46,18069885 46,15527035 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-11 9,0935 9,0885 5,1073 5,1073 46,44323255 46,41769605 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-14 9,1105 9,1055 5,1259 5,1259 46,69951195 46,67388245 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-15 9,0765 9,0715 5,1487 5,1487 46,73217555 46,70643205 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-16 9,0705 9,0655 5,134 5,134 46,567947 46,542277 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-17 9,0925 9,0875 5,1437 5,1437 46,76909225 46,74337375 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-18 9,0945 9,0895 5,1451 5,1451 46,79211195 46,76638645 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-21 9,1185 9,1135 5,1029 5,1029 46,53079365 46,50527915 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-22 9,0975 9,0925 5,0526 5,0526 45,9660285 45,9407655 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-23 9,1045 9,0995 5,0242 5,0242 45,7428289 45,7177079 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-24 9,0715 9,0665 5,048 5,048 45,792932 45,767692 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-25 9,0845 9,0795 5,0906 5,0906 46,2455557 46,2201027 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-02-28 9,0505 9,0455 5,1115 5,1115 46,26163075 46,23607325 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-01 9,0565 9,0515 5,1267 5,1267 46,42995855 46,40432505 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-02 9,0645 9,0595 5,1324 5,1324 46,5226398 46,4969778 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-03 9,0675 9,0625 5,1348 5,1348 46,559799 46,534125 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-04 9,0415 9,0365 5,1438 5,1438 46,5076677 46,4819487 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-07 9,0425 9,0375 5,1895 5,1895 46,92605375 46,90010625 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-08 9,0345 9,0295 5,1809 5,1809 46,80684105 46,78093655 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-09 9,0365 9,0315 5,1914 5,1914 46,9120861 46,8861291 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-10 9,0655 9,0605 5,1082 5,1082 46,3083871 46,2828461 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-11 9,0795 9,0745 5,1204 5,1204 46,4906718 46,4650698 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-14 9,0695 9,0645 5,0993 5,0993 46,24810135 46,22260485 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-15 9,1035 9,0985 5,1301 5,1301 46,70186535 46,67621485 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-16 9,0975 9,0925 5,1147 5,1147 46,53098325 46,50540975 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-17 9,1045 9,0995 5,0548 5,0548 46,0214266 45,9961526 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-18 9,1035 9,0985 5,0829 5,0829 46,27218015 46,24676565 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-21 9,1265 9,1215 5,0851 5,0851 46,40916515 46,38373965 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-22 9,1265 9,1215 5,0397 5,0397 45,99482205 45,96962355 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-23 9,1165 9,1115 5,0397 5,0397 45,94442505 45,91922655 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-24 9,1135 9,1085 5,0746 5,0746 46,2473671 46,2219941 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-29 9,1315 9,1265 5,0709 5,0709 46,30492335 46,27956885 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-30 9,1425 9,1375 5,0853 5,0853 46,49235525 46,46692875 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-03-31 9,1405 9,1355 5,1115 5,1115 46,72166575 46,69610825 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-01 9,1645 9,1595 5,1093 5,1093 46,82417985 46,79863335 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-04 9,1695 9,1645 5,0803 5,0803 46,58381085 46,55840935 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-05 9,1745 9,1695 5,1131 5,1131 46,91013595 46,88457045 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-06 9,1705 9,1655 5,138 5,138 47,118029 47,092339 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-07 9,1505 9,1455 5,1636 5,1636 47,2495218 47,2237038 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-08 9,1625 9,1575 5,1879 5,1879 47,53413375 47,50819425 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-11 9,1705 9,1655 5,1662 5,1662 47,3766371 47,3508061 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-12 9,1525 9,1475 5,1641 5,1641 47,26442525 47,23860475 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-13 9,1495 9,1445 5,1759 5,1759 47,35689705 47,33101755 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-14 9,1685 9,1635 5,1614 5,1614 47,3222959 47,2964889 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-15 9,1925 9,1875 5,092 5,092 46,80821 46,78275 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-18 9,1805 9,1755 4,9674 4,9674 45,6032157 45,5783787 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-19 9,2035 9,1985 4,9817 4,9817 45,84907595 45,82416745 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-20 9,1915 9,1865 4,9912 4,9912 45,8766148 45,8516588 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-21 9,1855 9,1805 4,981 4,981 45,7529755 45,7280705 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-22 9,1625 9,1575 5,0078 5,0078 45,8839675 45,8589285 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-25 9,1685 9,1635 4,9993 4,9993 45,83608205 45,81108555 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-26 9,1375 9,1325 5,0013 5,0013 45,69937875 45,67437225 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-27 9,1465 9,1415 4,9554 4,9554 45,3245661 45,2997891 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-28 9,1505 9,1455 4,9405 4,9405 45,20804525 45,18334275 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-04-29 9,1705 9,1655 4,9463 4,9463 45,36004415 45,33531265 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-02 9,1935 9,1885 4,9878 4,9878 45,8553393 45,8304003 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-03 9,2245 9,2195 4,9977 4,9977 46,10128365 46,07629515 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-04 9,1915 9,1865 4,9929 4,9929 45,89224035 45,86727585 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-06 9,1715 9,1665 5,0417 5,0417 46,23995155 46,21474305 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-09 9,1815 9,1765 5,0551 5,0551 46,41340065 46,38812515 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-10 9,1985 9,1935 5,0473 5,0473 46,42758905 46,40235255 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-11 9,2105 9,2055 5,0329 5,0329 46,35552545 46,33036095 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-12 9,2315 9,2265 5,0496 5,0496 46,6153824 46,5901344 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-13 9,2045 9,1995 5,034 5,034 46,335453 46,310283 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-17 9,2325 9,2275 5,0362 5,0362 46,4967165 46,4715355 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-18 9,2095 9,2045 5,0772 5,0772 46,7584734 46,7330874 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-19 9,1905 9,1855 5,1174 5,1174 47,0314647 47,0058777 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-20 9,1955 9,1905 5,1374 5,1374 47,2409617 47,2152747 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-23 9,1805 9,1755 5,1558 5,1558 47,3328219 47,3070429 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-24 9,1815 9,1765 5,1507 5,1507 47,29115205 47,26539855 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-25 9,1785 9,1735 5,161 5,161 47,3702385 47,3444335 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-26 9,1945 9,1895 5,1923 5,1923 47,74060235 47,71464085 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-27 9,1955 9,1905 5,1784 5,1784 47,6179772 47,5920852 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-30 9,1905 9,1855 5,2006 5,2006 47,7961143 47,7701113 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-05-31 9,1665 9,1615 5,2036 5,2036 47,6987994 47,6727814 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-01 9,1455 9,1405 5,2152 5,2152 47,6956116 47,6695356 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-02 9,1565 9,1515 5,2599 5,2599 48,16227435 48,13597485 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-03 9,1315 9,1265 5,2622 5,2622 48,0517793 48,0254683 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-07 9,1455 9,1405 5,2524 5,2524 48,0358242 48,0095622 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-08 9,1455 9,1405 5,2681 5,2681 48,17940855 48,15306805 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-09 9,1965 9,1915 5,2535 5,2535 48,31381275 48,28754525 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-10 9,1975 9,1925 5,3112 5,3112 48,849762 48,823206 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-13 9,2365 9,2315 5,3074 5,3074 49,0218001 48,9952631 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-14 9,2985 9,2935 5,3114 5,3114 49,3880529 49,3614959 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-15 9,2695 9,2645 5,3261 5,3261 49,37028395 49,34365345 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-16 9,2695 9,2645 5,3282 5,3282 49,3897499 49,3631089 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-17 9,2695 9,2645 5,3469 5,3469 49,56308955 49,53635505 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-20 9,2255 9,2205 5,3163 5,3163 49,04552565 49,01894415 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-21 9,2725 9,2675 5,3488 5,3488 49,596748 49,570004 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-22 9,2615 9,2565 5,3717 5,3717 49,74999955 49,72314105 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-27 9,3855 9,3805 5,2899 5,2899 49,64835645 49,62190695 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-28 9,3995 9,3945 5,3234 5,3234 50,0372983 50,0106813 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-29 9,4215 9,4165 5,3546 5,3546 50,4483639 50,4215909 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-06-30 9,4415 9,4365 5,3837 5,3837 50,83020355 50,80328505 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-01 9,4595 9,4545 5,4019 5,4019 51,09927305 51,07226355 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-04 9,4795 9,4745 5,429 5,429 51,4642055 51,4370605 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-05 9,4575 9,4525 5,4034 5,4034 51,1026555 51,0756385 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-06 9,4195 9,4145 5,4494 5,4494 51,3306233 51,3033763 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-07 9,3965 9,3915 5,2638 5,2638 49,4612967 49,4349777 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-08 9,4175 9,4125 5,4294 5,4294 51,1313745 51,1042275 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-11 9,4665 9,4615 5,4806 5,4806 51,8820999 51,8546969 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-12 9,4645 9,4595 5,4655 5,4655 51,72822475 51,70089725 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-13 9,3915 9,3865 5,4823 5,4823 51,48702045 51,45960895 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-14 9,3675 9,3625 5,5188 5,5188 51,697359 51,669765 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-15 9,4055 9,4005 5,5137 5,5137 51,85910535 51,83153685 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-18 9,3895 9,3845 5,5189 5,5189 51,81971155 51,79211705 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-19 9,4425 9,4375 5,544 5,544 52,34922 52,3215 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-20 9,4265 9,4215 5,5776 5,5776 52,5772464 52,5493584 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-21 9,4625 9,4575 5,5857 5,5857 52,85468625 52,82675775 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-22 9,4495 9,4445 5,5578 5,5578 52,5184311 52,4906421 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-25 9,4275 9,4225 5,569 5,569 52,5017475 52,4739025 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-26 9,4155 9,4105 5,5982 5,5982 52,7098521 52,6818611 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-27 9,4725 9,4675 5,6122 5,6122 53,1615645 53,1335035 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-28 9,4515 9,4465 5,6406 5,6406 53,3121309 53,2839279 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-07-29 9,3885 9,3835 5,6543 5,6543 53,08539555 53,05712405 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-01 9,3985 9,3935 5,6407 5,6407 53,01411895 52,98591545 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-02 9,3995 9,3945 5,6485 5,6485 53,09307575 53,06483325 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-03 9,3755 9,3705 5,6539 5,6539 53,00813945 52,97986995 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-04 9,3735 9,3685 5,6328 5,6328 52,7990508 52,7708868 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-05 9,3355 9,3305 5,6149 5,6149 52,41789895 52,38982445 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-08 9,3335 9,3285 5,6233 5,6233 52,48507055 52,45695405 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-09 9,3455 9,3405 5,612 5,612 52,446946 52,418886 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-10 9,3535 9,3485 5,7103 5,7103 53,41129105 53,38273955 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-11 9,3365 9,3315 5,7015 5,7015 53,23205475 53,20354725 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-12 9,3025 9,2975 5,685 5,685 52,8847125 52,8562875 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-16 9,2995 9,2945 5,7018 5,7018 53,0238891 52,9953801 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-17 9,3405 9,3355 5,6274 5,6274 52,5627297 52,5345927 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-18 9,3365 9,3315 5,6112 5,6112 52,3889688 52,3609128 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-19 9,3395 9,3345 5,6528 5,6528 52,7943256 52,7660616 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-22 9,3655 9,3605 5,6845 5,6845 53,23818475 53,20976225 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-23 9,3715 9,3665 5,6561 5,6561 53,00614115 52,97786065 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-24 9,3365 9,3315 5,6321 5,6321 52,58410165 52,55594115 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-25 9,3335 9,3285 5,6021 5,6021 52,28720035 52,25918985 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-26 9,3415 9,3365 5,619 5,619 52,4898885 52,4617935 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-29 9,3295 9,3245 5,5371 5,5371 51,65837445 51,63068895 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-30 9,3285 9,3235 5,5835 5,5835 52,08567975 52,05776225 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-08-31 9,3585 9,3535 5,5842 5,5842 52,2597357 52,2318147 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-01 9,3365 9,3315 5,661 5,661 52,8539265 52,8256215 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-02 9,3025 9,2975 5,6476 5,6476 52,536799 52,508561 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-05 9,2845 9,2795 5,6696 5,6696 52,6394012 52,6110532 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-06 9,3225 9,3175 5,7084 5,7084 53,216559 53,188017 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-07 9,3075 9,3025 5,7427 5,7427 53,45018025 53,42146675 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-08 9,3255 9,3205 5,7377 5,7377 53,50692135 53,47823285 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-09 9,3445 9,3395 5,7443 5,7443 53,67761135 53,64888985 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-12 9,3015 9,2965 5,7601 5,7601 53,57757015 53,54876965 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-13 9,3015 9,2965 5,7251 5,7251 53,25201765 53,22339215 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-14 9,3365 9,3315 5,717 5,717 53,3767705 53,3481855 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-15 9,3425 9,3375 5,7333 5,7333 53,56335525 53,53468875 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-16 9,3465 9,3415 5,7704 5,7704 53,9330436 53,9041916 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-19 9,3355 9,3305 5,7679 5,7679 53,84623045 53,81739095 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-20 9,3395 9,3345 5,7815 5,7815 53,99631925 53,96741175 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-21 9,3405 9,3355 5,7328 5,7328 53,5472184 53,5185544 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-22 9,3405 9,3355 5,6829 5,6829 53,08112745 53,05271295 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-23 9,3695 9,3645 5,7024 5,7024 53,4286368 53,4001248 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-26 9,3815 9,3765 5,7882 5,7882 54,3019983 54,2730573 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-27 9,3885 9,3835 5,7906 5,7906 54,3650481 54,3360951 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-28 9,3935 9,3885 5,8344 5,8344 54,8054364 54,7762644 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-29 9,3845 9,3795 5,8426 5,8426 54,8298797 54,8006667 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-09-30 9,3435 9,3385 5,8565 5,8565 54,72020775 54,69092525 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-03 9,3025 9,2975 5,8843 5,8843 54,73870075 54,70927925 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-04 9,3185 9,3135 5,9009 5,9009 54,98753665 54,95803215 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-05 9,3105 9,3055 5,878 5,878 54,727119 54,697729 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-06 9,3015 9,2965 5,7809 5,7809 53,77104135 53,74213685 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-07 9,3385 9,3335 5,7797 5,7797 53,97372845 53,94482995 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-10 9,3465 9,3415 5,8294 5,8294 54,4844871 54,4553401 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-11 9,3395 9,3345 5,8307 5,8307 54,45582265 54,42666915 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-12 9,3375 9,3325 5,7854 5,7854 54,0211725 53,9922455 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-13 9,3815 9,3765 5,7276 5,7276 53,7334794 53,7048414 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-14 9,4135 9,4085 5,696 5,696 53,619296 53,590816 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-17 9,4575 9,4525 5,7255 5,7255 54,14891625 54,12028875 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-18 9,4625 9,4575 5,7341 5,7341 54,25892125 54,23025075 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-19 9,4605 9,4555 5,5931 5,5931 52,91352255 52,88555705 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-20 9,4935 9,4885 5,6577 5,6577 53,71137495 53,68308645 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-21 9,4915 9,4865 5,5814 5,5814 52,9758581 52,9479511 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-24 9,5455 9,5405 5,6316 5,6316 53,7564378 53,7282798 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-25 9,5465 9,5415 5,6465 5,6465 53,90431225 53,87607975 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-26 9,4975 9,4925 5,6627 5,6627 53,78149325 53,75317975 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-27 9,5355 9,5305 5,5872 5,5872 53,2767456 53,2488096 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-28 9,5135 9,5085 5,5347 5,5347 52,65436845 52,62669495 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-10-31 9,5495 9,5445 5,6527 5,6527 53,98045865 53,95219515 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-02 9,5855 9,5805 5,6904 5,6904 54,5453292 54,5168772 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-03 9,6515 9,6465 5,752 5,752 55,515428 55,486668 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-04 9,5875 9,5825 5,7807 5,7807 55,42246125 55,39355775 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-07 9,6075 9,6025 5,7541 5,7541 55,28251575 55,25374525 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-08 9,5685 9,5635 5,8006 5,8006 55,5030411 55,4740381 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-09 9,5575 9,5525 5,7835 5,7835 55,27580125 55,24688375 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-10 9,6105 9,6055 5,7988 5,7988 55,7293674 55,7003734 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-11 9,6365 9,6315 5,8406 5,8406 56,2829419 56,2537389 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-14 9,5505 9,5455 5,8589 5,8589 55,95542445 55,92612995 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-15 9,5805 9,5755 5,8423 5,8423 55,97215515 55,94294365 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-16 9,6235 9,6185 5,8178 5,8178 55,9875983 55,9585093 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-17 9,6355 9,6305 5,8701 5,8701 56,56134855 56,53199805 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-18 9,6085 9,6035 5,9086 5,9086 56,7727831 56,7432401 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-21 9,5915 9,5865 5,897 5,897 56,5610755 56,5315905 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-22 9,5585 9,5535 5,9074 5,9074 56,4658829 56,4363459 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-23 9,5155 9,5105 5,9439 5,9439 56,55918045 56,52946095 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-24 9,5125 9,5075 5,9481 5,9481 56,58130125 56,55156075 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-25 9,4965 9,4915 5,9674 5,9674 56,6694141 56,6395771 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-28 9,4835 9,4785 6,0044 6,0044 56,9427274 56,9127054 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-29 9,4785 9,4735 5,9462 5,9462 56,3610567 56,3313257 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-11-30 9,5295 9,5245 5,9387 5,9387 56,59284165 56,56314815 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-01 9,5165 9,5115 5,9758 5,9758 56,8687007 56,8388217 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-02 9,4905 9,4855 6,0174 6,0174 57,1081347 57,0780477 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-05 9,4065 9,4015 6,0313 6,0313 56,73342345 56,70326695 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-06 9,4185 9,4135 6,0516 6,0516 56,9969946 56,9667366 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-07 9,4255 9,4205 6,0696 6,0696 57,2090148 57,1786668 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-08 9,3965 9,3915 6,0107 6,0107 56,47954255 56,44948905 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-12 9,4315 9,4265 6,0674 6,0674 57,2246831 57,1943461 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-13 9,4295 9,4245 6,0507 6,0507 57,05507565 57,02482215 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-14 9,4365 9,4315 6,0548 6,0548 57,1361202 57,1058462 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-15 9,4345 9,4295 6,0462 6,0462 57,0428739 57,0126429 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-16 9,4765 9,4715 6,1051 6,1051 57,85498015 57,82445465 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-19 9,4535 9,4485 6,1104 6,1104 57,7646664 57,7341144 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-20 9,4015 9,3965 6,1036 6,1036 57,3829954 57,3524774 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-21 9,4485 9,4435 6,1376 6,1376 57,9911136 57,9604256 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-22 9,4365 9,4315 6,1461 6,1461 57,99767265 57,96694215 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-23 9,4425 9,4375 6,1494 6,1494 58,0657095 58,0349625 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-27 9,4915 9,4865 6,1856 6,1856 58,7106224 58,6796944 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-28 9,4345 9,4295 6,1792 6,1792 58,2976624 58,2667664 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-29 9,4115 9,4065 6,1901 6,1901 58,25812615 58,22717565 579722 Aviva Fund Services S.A. Aviva Morley - European Equity Fund EUR 2005-12-30 9,4325 9,4275 6,1415 6,1415 57,92969875 57,89899125 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-03 9,0065 9,0015 8,2119 8,2119 73,96047735 73,91941785 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-04 9,0345 9,0295 8,185 8,185 73,9473825 73,9064575 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-05 9,0615 9,0565 8,0942 8,0942 73,3455933 73,3051223 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-07 9,0615 9,0565 8,1157 8,1157 73,54041555 73,49983705 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-10 9,08619 9,08119 8,1821 8,1821 74,344115199 74,303204699 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-11 9,08619 9,08119 8,2173 8,2173 74,663949087 74,622862587 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-12 9,0455 9,0405 8,2792 8,2792 74,8895036 74,8481076 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-13 9,0505 9,0455 8,2941 8,2941 75,06575205 75,02428155 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-14 9,0455 9,0405 8,3253 8,3253 75,30650115 75,26487465 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-17 9,0685 9,0635 8,3517 8,3517 75,73739145 75,69563295 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-18 9,0585 9,0535 8,3733 8,3733 75,84953805 75,80767155 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-19 9,0225 9,0175 8,4035 8,4035 75,82057875 75,77856125 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-20 9,0315 9,0265 8,3797 8,3797 75,68126055 75,63936205 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-21 9,0505 9,0455 8,3954 8,3954 75,9825677 75,9405907 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-24 9,0655 9,0605 8,377 8,377 75,9416935 75,8998085 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-25 9,0715 9,0665 8,4036 8,4036 76,2332574 76,1912394 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-26 9,0885 9,0835 8,4452 8,4452 76,7542002 76,7119742 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-27 9,0675 9,0625 8,4688 8,4688 76,790844 76,7485 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-28 9,0955 9,0905 8,4755 8,4755 77,08891025 77,04653275 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-01-31 9,1075 9,1025 8,4471 8,4471 76,93196325 76,88972775 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-01 9,1035 9,0985 8,4405 8,4405 76,83809175 76,79588925 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-02 9,0905 9,0855 8,5273 8,5273 77,51742065 77,47478415 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-03 9,0695 9,0645 8,561 8,561 77,6439895 77,6011845 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-04 9,0895 9,0845 8,556 8,556 77,769762 77,726982 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-07 9,0755 9,0705 8,6016 8,6016 78,0638208 78,0208128 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-08 9,0895 9,0845 8,6306 8,6306 78,4478387 78,4046857 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-09 9,0695 9,0645 8,662 8,662 78,560009 78,516699 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-10 9,0805 9,0755 8,6781 8,6781 78,80148705 78,75809655 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-11 9,0935 9,0885 8,6758 8,6758 78,8933873 78,8500083 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-14 9,1105 9,1055 8,7448 8,7448 79,6695004 79,6257764 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-15 9,0765 9,0715 8,7734 8,7734 79,6317651 79,5878981 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-16 9,0705 9,0655 8,7803 8,7803 79,64171115 79,59780965 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-17 9,0925 9,0875 8,7869 8,7869 79,89488825 79,85095375 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-18 9,0945 9,0895 8,7886 8,7886 79,9279227 79,8839797 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-21 9,1185 9,1135 8,6271 8,6271 78,66621135 78,62307585 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-22 9,0975 9,0925 8,4819 8,4819 77,16408525 77,12167575 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-23 9,1045 9,0995 8,4551 8,4551 76,97945795 76,93718245 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-24 9,0715 9,0665 8,4761 8,4761 76,89094115 76,84856065 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-25 9,0845 9,0795 8,4306 8,4306 76,5877857 76,5456327 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-02-28 9,0505 9,0455 8,5127 8,5127 77,04419135 77,00162785 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-01 9,0565 9,0515 8,4829 8,4829 76,82538385 76,78296935 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-02 9,0645 9,0595 8,484 8,484 76,903218 76,860798 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-03 9,0675 9,0625 8,436 8,436 76,49343 76,45125 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-04 9,0415 9,0365 8,4104 8,4104 76,0426316 76,0005796 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-07 9,0425 9,0375 8,4872 8,4872 76,745506 76,70307 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-08 9,0345 9,0295 8,4765 8,4765 76,58093925 76,53855675 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-09 9,0365 9,0315 8,4897 8,4897 76,71717405 76,67472555 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-10 9,0655 9,0605 8,3822 8,3822 75,9888341 75,9469231 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-11 9,0795 9,0745 8,3814 8,3814 76,0989213 76,0570143 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-14 9,0695 9,0645 8,3307 8,3307 75,55528365 75,51363015 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-15 9,1035 9,0985 8,4028 8,4028 76,4948898 76,4528758 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-16 9,0975 9,0925 8,3825 8,3825 76,25979375 76,21788125 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-17 9,1045 9,0995 8,2324 8,2324 74,9518858 74,9107238 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-18 9,1035 9,0985 8,2613 8,2613 75,20674455 75,16543805 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-21 9,1265 9,1215 8,2629 8,2629 75,41135685 75,37004235 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-22 9,1265 9,1215 8,2375 8,2375 75,17954375 75,13835625 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-23 9,1165 9,1115 8,2011 8,2011 74,76532815 74,72432265 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-24 9,1135 9,1085 8,2461 8,2461 75,15083235 75,10960185 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-29 9,1315 9,1265 8,2696 8,2696 75,5138524 75,4725044 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-30 9,1425 9,1375 8,2757 8,2757 75,66058725 75,61920875 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-03-31 9,1405 9,1355 8,3238 8,3238 76,0836939 76,0420749 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-01 9,1645 9,1595 8,352 8,352 76,541904 76,500144 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-04 9,1695 9,1645 8,3246 8,3246 76,3324197 76,2907967 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-05 9,1745 9,1695 8,3659 8,3659 76,75294955 76,71112005 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-06 9,1705 9,1655 8,3933 8,3933 76,97075765 76,92879115 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-07 9,1505 9,1455 8,4265 8,4265 77,10668825 77,06455575 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-08 9,1625 9,1575 8,4744 8,4744 77,64669 77,604318 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-11 9,1705 9,1655 8,5084 8,5084 78,0262822 77,9837402 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-12 9,1525 9,1475 8,537 8,537 78,1348925 78,0922075 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-13 9,1495 9,1445 8,5647 8,5647 78,36272265 78,31989915 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-14 9,1685 9,1635 8,5565 8,5565 78,45027025 78,40748775 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-15 9,1925 9,1875 8,4924 8,4924 78,066387 78,023925 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-18 9,1805 9,1755 8,3961 8,3961 77,08039605 77,03841555 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-19 9,2035 9,1985 8,47 8,47 77,953645 77,911295 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-20 9,1915 9,1865 8,537 8,537 78,4678355 78,4251505 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-21 9,1855 9,1805 8,5316 8,5316 78,3670118 78,3243538 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-22 9,1625 9,1575 8,517 8,517 78,0370125 77,9944275 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-25 9,1685 9,1635 8,4947 8,4947 77,88365695 77,84118345 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-26 9,1375 9,1325 8,5431 8,5431 78,06257625 78,01986075 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-27 9,1465 9,1415 8,4863 8,4863 77,61994295 77,57751145 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-28 9,1505 9,1455 8,4593 8,4593 77,40682465 77,36452815 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-04-29 9,1705 9,1655 8,4996 8,4996 77,9455818 77,9030838 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-02 9,1935 9,1885 8,5734 8,5734 78,8195529 78,7766859 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-03 9,2245 9,2195 8,6275 8,6275 79,58437375 79,54123625 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-04 9,1915 9,1865 8,5949 8,5949 79,00002335 78,95704885 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-06 9,1715 9,1665 8,6083 8,6083 78,95102345 78,90798195 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-09 9,1815 9,1765 8,6366 8,6366 79,2969429 79,2537599 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-10 9,1985 9,1935 8,5916 8,5916 79,0298326 78,9868746 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-11 9,2105 9,2055 8,586 8,586 79,081353 79,038423 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-12 9,2315 9,2265 8,6685 8,6685 80,02325775 79,97991525 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-13 9,2045 9,1995 8,7029 8,7029 80,10584305 80,06232855 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-17 9,2325 9,2275 8,7431 8,7431 80,72067075 80,67695525 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-18 9,2095 9,2045 8,7419 8,7419 80,50852805 80,46481855 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-19 9,1905 9,1855 8,7379 8,7379 80,30566995 80,26198045 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-20 9,1955 9,1905 8,8309 8,8309 81,20454095 81,16038645 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-23 9,1805 9,1755 8,856 8,856 81,302508 81,258228 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-24 9,1815 9,1765 8,8811 8,8811 81,54181965 81,49741415 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-25 9,1785 9,1735 8,9504 8,9504 82,1512464 82,1064944 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-26 9,1945 9,1895 9,0453 9,0453 83,16701085 83,12178435 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-27 9,1955 9,1905 9,0426 9,0426 83,1512283 83,1060153 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-30 9,1905 9,1855 9,0482 9,0482 83,1574821 83,1122411 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-05-31 9,1665 9,1615 9,1206 9,1206 83,6039799 83,5583769 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-01 9,1455 9,1405 9,0992 9,0992 83,2167336 83,1712376 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-02 9,1565 9,1515 9,1461 9,1461 83,74626465 83,70053415 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-03 9,1315 9,1265 9,1391 9,1391 83,45369165 83,40799615 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-07 9,1455 9,1405 9,2362 9,2362 84,4696671 84,4234861 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-08 9,1455 9,1405 9,2675 9,2675 84,75592125 84,70958375 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-09 9,1965 9,1915 9,2629 9,2629 85,18625985 85,13994535 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-10 9,1975 9,1925 9,265 9,265 85,2148375 85,1685125 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-13 9,2365 9,2315 9,2943 9,2943 85,84680195 85,80033045 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-14 9,2985 9,2935 9,3495 9,3495 86,93632575 86,88957825 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-15 9,2695 9,2645 9,3596 9,3596 86,7588122 86,7120142 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-16 9,2695 9,2645 9,2438 9,2438 85,6854041 85,6391851 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-17 9,2695 9,2645 9,3099 9,3099 86,29811805 86,25156855 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-20 9,2255 9,2205 9,3729 9,3729 86,46968895 86,42282445 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-21 9,2725 9,2675 9,3826 9,3826 87,0001585 86,9532455 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-22 9,2615 9,2565 9,4631 9,4631 87,64250065 87,59518515 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-27 9,3855 9,3805 9,3479 9,3479 87,73471545 87,68797595 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-28 9,3995 9,3945 9,3151 9,3151 87,55728245 87,51070695 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-29 9,4215 9,4165 9,3455 9,3455 88,04862825 88,00190075 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-06-30 9,4415 9,4365 9,3747 9,3747 88,51123005 88,46435655 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-01 9,4595 9,4545 9,3904 9,3904 88,8284888 88,7815368 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-04 9,4795 9,4745 9,4122 9,4122 89,2229499 89,1758889 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-05 9,4575 9,4525 9,4182 9,4182 89,0726265 89,0255355 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-06 9,4195 9,4145 9,485 9,485 89,3439575 89,2965325 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-07 9,3965 9,3915 9,2159 9,2159 86,59720435 86,55112485 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-08 9,4175 9,4125 9,4515 9,4515 89,00950125 88,96224375 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-11 9,4665 9,4615 9,4901 9,4901 89,83803165 89,79058115 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-12 9,4645 9,4595 9,5255 9,5255 90,15409475 90,10646725 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-13 9,3915 9,3865 9,5405 9,5405 89,59960575 89,55190325 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-14 9,3675 9,3625 9,5728 9,5728 89,673204 89,62534 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-15 9,4055 9,4005 9,5037 9,5037 89,38705035 89,33953185 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-18 9,3895 9,3845 9,4716 9,4716 88,9335882 88,8862302 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-19 9,4425 9,4375 9,4395 9,4395 89,13247875 89,08528125 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-20 9,4265 9,4215 9,4568 9,4568 89,1445252 89,0972412 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-21 9,4625 9,4575 9,4502 9,4502 89,4225175 89,3752665 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-22 9,4495 9,4445 9,4977 9,4977 89,74851615 89,70102765 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-25 9,4275 9,4225 9,5133 9,5133 89,68663575 89,63906925 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-26 9,4155 9,4105 9,5407 9,5407 89,83046085 89,78275735 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-27 9,4725 9,4675 9,5668 9,5668 90,621513 90,573679 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-28 9,4515 9,4465 9,6044 9,6044 90,7759866 90,7279646 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-07-29 9,3885 9,3835 9,5502 9,5502 89,6620527 89,6143017 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-01 9,3985 9,3935 9,6176 9,6176 90,3910136 90,3429256 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-02 9,3995 9,3945 9,675 9,675 90,9401625 90,8917875 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-03 9,3755 9,3705 9,6772 9,6772 90,7285886 90,6802026 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-04 9,3735 9,3685 9,7529 9,7529 91,41880815 91,37004365 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-05 9,3355 9,3305 9,7598 9,7598 91,1126129 91,0638139 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-08 9,3335 9,3285 9,7641 9,7641 91,13322735 91,08440685 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-09 9,3455 9,3405 9,6966 9,6966 90,6195753 90,5710923 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-10 9,3535 9,3485 9,7903 9,7903 91,57357105 91,52461955 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-11 9,3365 9,3315 9,6939 9,6939 90,50709735 90,45862785 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-12 9,3025 9,2975 9,5938 9,5938 89,2463245 89,1983555 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-16 9,2995 9,2945 9,6096 9,6096 89,3644752 89,3164272 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-17 9,3405 9,3355 9,5699 9,5699 89,38765095 89,33980145 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-18 9,3365 9,3315 9,5439 9,5439 89,10662235 89,05890285 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-19 9,3395 9,3345 9,5612 9,5612 89,2968274 89,2490214 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-22 9,3655 9,3605 9,5708 9,5708 89,6353274 89,5874734 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-23 9,3715 9,3665 9,603 9,603 89,9945145 89,9464995 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-24 9,3365 9,3315 9,5479 9,5479 89,14396835 89,09622885 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-25 9,3335 9,3285 9,4729 9,4729 88,41531215 88,36794765 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-26 9,3415 9,3365 9,547 9,547 89,1833005 89,1355655 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-29 9,3295 9,3245 9,4769 9,4769 88,41473855 88,36735405 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-30 9,3285 9,3235 9,4945 9,4945 88,56944325 88,52197075 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-08-31 9,3585 9,3535 9,5301 9,5301 89,18744085 89,13979035 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-01 9,3365 9,3315 9,5908 9,5908 89,5445042 89,4965502 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-02 9,3025 9,2975 9,6378 9,6378 89,6556345 89,6074455 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-05 9,2845 9,2795 9,6996 9,6996 90,0559362 90,0074382 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-06 9,3225 9,3175 9,6647 9,6647 90,09916575 90,05084225 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-07 9,3075 9,3025 9,7416 9,7416 90,669942 90,621234 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-08 9,3255 9,3205 9,73 9,73 90,737115 90,688465 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-09 9,3445 9,3395 9,745 9,745 91,0621525 91,0134275 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-12 9,3015 9,2965 9,6969 9,6969 90,19571535 90,14723085 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-13 9,3015 9,2965 9,6309 9,6309 89,58181635 89,53366185 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-14 9,3365 9,3315 9,6576 9,6576 90,1681824 90,1198944 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-15 9,3425 9,3375 9,6925 9,6925 90,55218125 90,50371875 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-16 9,3465 9,3415 9,7138 9,7138 90,7900317 90,7414627 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-19 9,3355 9,3305 9,7295 9,7295 90,82974725 90,78109975 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-20 9,3395 9,3345 9,7846 9,7846 91,3832717 91,3343487 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-21 9,3405 9,3355 9,778 9,778 91,331409 91,282519 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-22 9,3405 9,3355 9,6901 9,6901 90,51037905 90,46192855 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-23 9,3695 9,3645 9,7188 9,7188 91,0602966 91,0117026 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-26 9,3815 9,3765 9,7655 9,7655 91,61503825 91,56621075 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-27 9,3885 9,3835 9,7772 9,7772 91,7932422 91,7443562 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-28 9,3935 9,3885 9,7652 9,7652 91,7294062 91,6805802 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-29 9,3845 9,3795 9,7874 9,7874 91,8498553 91,8009183 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-09-30 9,3435 9,3385 9,8302 9,8302 91,8484737 91,7993227 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-03 9,3025 9,2975 9,8934 9,8934 92,0333535 91,9838865 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-04 9,3185 9,3135 9,808 9,808 91,395848 91,346808 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-05 9,3105 9,3055 9,7969 9,7969 91,21403745 91,16505295 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-06 9,3015 9,2965 9,6899 9,6899 90,13060485 90,08215535 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-07 9,3385 9,3335 9,6548 9,6548 90,1613498 90,1130758 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-10 9,3465 9,3415 9,6414 9,6414 90,1133451 90,0651381 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-11 9,3395 9,3345 9,6582 9,6582 90,2027589 90,1544679 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-12 9,3375 9,3325 9,6362 9,6362 89,9780175 89,9298365 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-13 9,3815 9,3765 9,5347 9,5347 89,44978805 89,40211455 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-14 9,4135 9,4085 9,3044 9,3044 87,5869694 87,5404474 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-17 9,4575 9,4525 9,2786 9,2786 87,7523595 87,7059665 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-18 9,4625 9,4575 9,3374 9,3374 88,3551475 88,3084605 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-19 9,4605 9,4555 9,2619 9,2619 87,62220495 87,57589545 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-20 9,4935 9,4885 9,3044 9,3044 88,3313214 88,2847994 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-21 9,4915 9,4865 9,2296 9,2296 87,6027484 87,5566004 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-24 9,5455 9,5405 9,2988 9,2988 88,7616954 88,7152014 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-25 9,5465 9,5415 9,362 9,362 89,374333 89,327523 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-26 9,4975 9,4925 9,3235 9,3235 88,54994125 88,50332375 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-27 9,5355 9,5305 9,2575 9,2575 88,27489125 88,22860375 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-28 9,5135 9,5085 9,211 9,211 87,6288485 87,5827935 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-10-31 9,5495 9,5445 9,2665 9,2665 88,49044175 88,44410925 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-02 9,5855 9,5805 9,3745 9,3745 89,85926975 89,81239725 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-03 9,6515 9,6465 9,3604 9,3604 90,3419006 90,2950986 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-04 9,5875 9,5825 9,461 9,461 90,7073375 90,6600325 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-07 9,6075 9,6025 9,5494 9,5494 91,7458605 91,6981135 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-08 9,5685 9,5635 9,6555 9,6555 92,38865175 92,34037425 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-09 9,5575 9,5525 9,5961 9,5961 91,71472575 91,66674525 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-10 9,6105 9,6055 9,5929 9,5929 92,19256545 92,14460095 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-11 9,6365 9,6315 9,6647 9,6647 93,13388155 93,08555805 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-14 9,5505 9,5455 9,6594 9,6594 92,2520997 92,2038027 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-15 9,5805 9,5755 9,6416 9,6416 92,3713488 92,3231408 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-16 9,6235 9,6185 9,6876 9,6876 93,2286186 93,1801806 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-17 9,6355 9,6305 9,6982 9,6982 93,4470061 93,3985151 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-18 9,6085 9,6035 9,7211 9,7211 93,40518935 93,35658385 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-21 9,5915 9,5865 9,6329 9,6329 92,39396035 92,34579585 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-22 9,5585 9,5535 9,6678 9,6678 92,4096663 92,3613273 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-23 9,5155 9,5105 9,658 9,658 91,900699 91,852409 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-24 9,5125 9,5075 9,5862 9,5862 91,1887275 91,1407965 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-25 9,4965 9,4915 9,6127 9,6127 91,28700555 91,23894205 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-28 9,4835 9,4785 9,583 9,583 90,8803805 90,8324655 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-29 9,4785 9,4735 9,5212 9,5212 90,2466942 90,1990882 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-11-30 9,5295 9,5245 9,4766 9,4766 90,3072597 90,2598767 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-01 9,5165 9,5115 9,4565 9,4565 89,99278225 89,94549975 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-02 9,4905 9,4855 9,5161 9,5161 90,31254705 90,26496655 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-05 9,4065 9,4015 9,5481 9,5481 89,81420265 89,76646215 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-06 9,4185 9,4135 9,5402 9,5402 89,8543737 89,8066727 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-07 9,4255 9,4205 9,5499 9,5499 90,01258245 89,96483295 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-08 9,3965 9,3915 9,5332 9,5332 89,5787138 89,5310478 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-12 9,4315 9,4265 9,5013 9,5013 89,61151095 89,56400445 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-13 9,4295 9,4245 9,4813 9,4813 89,40391835 89,35651185 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-14 9,4365 9,4315 9,5044 9,5044 89,6882706 89,6407486 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-15 9,4345 9,4295 9,6203 9,6203 90,76272035 90,71461885 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-16 9,4765 9,4715 9,6493 9,6493 91,44159145 91,39334495 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-19 9,4535 9,4485 9,6638 9,6638 91,3567333 91,3084143 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-20 9,4015 9,3965 9,6833 9,6833 91,03754495 90,98912845 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-21 9,4485 9,4435 9,6268 9,6268 90,9588198 90,9106858 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-22 9,4365 9,4315 9,6899 9,6899 91,43874135 91,39029185 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-23 9,4425 9,4375 9,7288 9,7288 91,864194 91,81555 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-27 9,4915 9,4865 9,7294 9,7294 92,3466001 92,2979531 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-28 9,4345 9,4295 9,7432 9,7432 91,9222204 91,8735044 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-29 9,4115 9,4065 9,7254 9,7254 91,5306021 91,4819751 252353 Aviva Fund Services S.A. Aviva Morley - European Property Securities Fund EUR 2005-12-30 9,4325 9,4275 9,7709 9,7709 92,16401425 92,11515975 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-03 9,0065 9,0015 4,1492 4,1492 37,3697698 37,3490238 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-04 9,0345 9,0295 4,1495 4,1495 37,48865775 37,46791025 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-05 9,0615 9,0565 4,1208 4,1208 37,3406292 37,3200252 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-07 9,0615 9,0565 4,138 4,138 37,496487 37,475797 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-10 9,08619 9,08119 4,1468 4,1468 37,678612692 37,657878692 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-11 9,08619 9,08119 4,1337 4,1337 37,559583603 37,538915103 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-12 9,0455 9,0405 4,1217 4,1217 37,28283735 37,26222885 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-13 9,0505 9,0455 4,1013 4,1013 37,11881565 37,09830915 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-14 9,0455 9,0405 4,1235 4,1235 37,29911925 37,27850175 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-17 9,0685 9,0635 4,1509 4,1509 37,64243665 37,62168215 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-18 9,0585 9,0535 4,1399 4,1399 37,50128415 37,48058465 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-19 9,0225 9,0175 4,1575 4,1575 37,51104375 37,49025625 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-20 9,0315 9,0265 4,1279 4,1279 37,28112885 37,26048935 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-21 9,0505 9,0455 4,1245 4,1245 37,32878725 37,30816475 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-24 9,0655 9,0605 4,1128 4,1128 37,2845884 37,2640244 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-25 9,0715 9,0665 4,1371 4,1371 37,52970265 37,50901715 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-26 9,0885 9,0835 4,154 4,154 37,753629 37,732859 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-27 9,0675 9,0625 4,151 4,151 37,6391925 37,6184375 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-28 9,0955 9,0905 4,1702 4,1702 37,9300541 37,9092031 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-01-31 9,1075 9,1025 4,1862 4,1862 38,1258165 38,1048855 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-01 9,1035 9,0985 4,1983 4,1983 38,21922405 38,19823255 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-02 9,0905 9,0855 4,2207 4,2207 38,36827335 38,34716985 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-03 9,0695 9,0645 4,2344 4,2344 38,4038908 38,3827188 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-04 9,0895 9,0845 4,2478 4,2478 38,6103781 38,5891391 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-07 9,0755 9,0705 4,2745 4,2745 38,79322475 38,77185225 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-08 9,0895 9,0845 4,2772 4,2772 38,8776094 38,8562234 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-09 9,0695 9,0645 4,2661 4,2661 38,69139395 38,67006345 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-10 9,0805 9,0755 4,2635 4,2635 38,71471175 38,69339425 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-11 9,0935 9,0885 4,2836 4,2836 38,9529166 38,9314986 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-14 9,1105 9,1055 4,3048 4,3048 39,2188804 39,1973564 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-15 9,0765 9,0715 4,3229 4,3229 39,23680185 39,21518735 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-16 9,0705 9,0655 4,3209 4,3209 39,19272345 39,17111895 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-17 9,0925 9,0875 4,3281 4,3281 39,35324925 39,33160875 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-18 9,0945 9,0895 4,3335 4,3335 39,41101575 39,38934825 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-21 9,1185 9,1135 4,2992 4,2992 39,2022552 39,1807592 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-22 9,0975 9,0925 4,2648 4,2648 38,799018 38,777694 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-23 9,1045 9,0995 4,252 4,252 38,712334 38,691074 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-24 9,0715 9,0665 4,2786 4,2786 38,8133199 38,7919269 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-25 9,0845 9,0795 4,3072 4,3072 39,1287584 39,1072224 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-02-28 9,0505 9,0455 4,3179 4,3179 39,07915395 39,05756445 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-01 9,0565 9,0515 4,3283 4,3283 39,19924895 39,17760745 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-02 9,0645 9,0595 4,331 4,331 39,2583495 39,2366945 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-03 9,0675 9,0625 4,3325 4,3325 39,28494375 39,26328125 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-04 9,0415 9,0365 4,3378 4,3378 39,2202187 39,1985297 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-07 9,0425 9,0375 4,3712 4,3712 39,526576 39,50472 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-08 9,0345 9,0295 4,3682 4,3682 39,4645029 39,4426619 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-09 9,0365 9,0315 4,3679 4,3679 39,47052835 39,44868885 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-10 9,0655 9,0605 4,3061 4,3061 39,03694955 39,01541905 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-11 9,0795 9,0745 4,3173 4,3173 39,19892535 39,17733885 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-14 9,0695 9,0645 4,2942 4,2942 38,9462469 38,9247759 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-15 9,1035 9,0985 4,3205 4,3205 39,33167175 39,31006925 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-16 9,0975 9,0925 4,3132 4,3132 39,239337 39,217771 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-17 9,1045 9,0995 4,2782 4,2782 38,9508719 38,9294809 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-18 9,1035 9,0985 4,2899 4,2899 39,05310465 39,03165515 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-21 9,1265 9,1215 4,2857 4,2857 39,11344105 39,09201255 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-22 9,1265 9,1215 4,2636 4,2636 38,9117454 38,8904274 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-23 9,1165 9,1115 4,2595 4,2595 38,83173175 38,81043425 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-24 9,1135 9,1085 4,2892 4,2892 39,0896242 39,0681782 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-29 9,1315 9,1265 4,2853 4,2853 39,13121695 39,10979045 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-30 9,1425 9,1375 4,2852 4,2852 39,177441 39,156015 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-03-31 9,1405 9,1355 4,3006 4,3006 39,3096343 39,2881313 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-01 9,1645 9,1595 4,3046 4,3046 39,4495067 39,4279837 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-04 9,1695 9,1645 4,2827 4,2827 39,27021765 39,24880415 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-05 9,1745 9,1695 4,3114 4,3114 39,5549393 39,5333823 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-06 9,1705 9,1655 4,3382 4,3382 39,7834631 39,7617721 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-07 9,1505 9,1455 4,3636 4,3636 39,9291218 39,9073038 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-08 9,1625 9,1575 4,3897 4,3897 40,22062625 40,19867775 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-11 9,1705 9,1655 4,3777 4,3777 40,14569785 40,12380935 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-12 9,1525 9,1475 4,378 4,378 40,069645 40,047755 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-13 9,1495 9,1445 4,3899 4,3899 40,16539005 40,14344055 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-14 9,1685 9,1635 4,3752 4,3752 40,1140212 40,0921452 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-15 9,1925 9,1875 4,3301 4,3301 39,80444425 39,78279375 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-18 9,1805 9,1755 4,2259 4,2259 38,79587495 38,77474545 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-19 9,2035 9,1985 4,2603 4,2603 39,20967105 39,18836955 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-20 9,1915 9,1865 4,2759 4,2759 39,30193485 39,28055535 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-21 9,1855 9,1805 4,256 4,256 39,093488 39,072208 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-22 9,1625 9,1575 4,2896 4,2896 39,30346 39,282012 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-25 9,1685 9,1635 4,275 4,275 39,1953375 39,1739625 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-26 9,1375 9,1325 4,2755 4,2755 39,06738125 39,04600375 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-27 9,1465 9,1415 4,2315 4,2315 38,70341475 38,68225725 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-28 9,1505 9,1455 4,2088 4,2088 38,5126244 38,4915804 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-04-29 9,1705 9,1655 4,2032 4,2032 38,5454456 38,5244296 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-02 9,1935 9,1885 4,2381 4,2381 38,96297235 38,94178185 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-03 9,2245 9,2195 4,2331 4,2331 39,04823095 39,02706545 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-04 9,1915 9,1865 4,2281 4,2281 38,86258115 38,84144065 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-06 9,1715 9,1665 4,2689 4,2689 39,15221635 39,13087185 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-09 9,1815 9,1765 4,2786 4,2786 39,2839659 39,2625729 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-10 9,1985 9,1935 4,2734 4,2734 39,3088699 39,2875029 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-11 9,2105 9,2055 4,261 4,261 39,2459405 39,2246355 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-12 9,2315 9,2265 4,2762 4,2762 39,4757403 39,4543593 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-13 9,2045 9,1995 4,2599 4,2599 39,21024955 39,18895005 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-17 9,2325 9,2275 4,2691 4,2691 39,41446575 39,39312025 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-18 9,2095 9,2045 4,2988 4,2988 39,5897986 39,5683046 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-19 9,1905 9,1855 4,3384 4,3384 39,8720652 39,8503732 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-20 9,1955 9,1905 4,3477 4,3477 39,97927535 39,95753685 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-23 9,1805 9,1755 4,3616 4,3616 40,0416688 40,0198608 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-24 9,1815 9,1765 4,3626 4,3626 40,0552119 40,0333989 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-25 9,1785 9,1735 4,3795 4,3795 40,19724075 40,17534325 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-26 9,1945 9,1895 4,4014 4,4014 40,4686723 40,4466653 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-27 9,1955 9,1905 4,3997 4,3997 40,45744135 40,43544285 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-30 9,1905 9,1855 4,4163 4,4163 40,58800515 40,56592365 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-05-31 9,1665 9,1615 4,4215 4,4215 40,52967975 40,50757225 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-01 9,1455 9,1405 4,4325 4,4325 40,53742875 40,51526625 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-02 9,1565 9,1515 4,451 4,451 40,7555815 40,7333265 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-03 9,1315 9,1265 4,4589 4,4589 40,71644535 40,69415085 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-07 9,1455 9,1405 4,4609 4,4609 40,79716095 40,77485645 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-08 9,1455 9,1405 4,4737 4,4737 40,91422335 40,89185485 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-09 9,1965 9,1915 4,4681 4,4681 41,09088165 41,06854115 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-10 9,1975 9,1925 4,5117 4,5117 41,49636075 41,47380225 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-13 9,2365 9,2315 4,5138 4,5138 41,6917137 41,6691447 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-14 9,2985 9,2935 4,5094 4,5094 41,9306559 41,9081089 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-15 9,2695 9,2645 4,5198 4,5198 41,8962861 41,8736871 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-16 9,2695 9,2645 4,518 4,518 41,879601 41,857011 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-17 9,2695 9,2645 4,5299 4,5299 41,98990805 41,96725855 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-20 9,2255 9,2205 4,5048 4,5048 41,5590324 41,5365084 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-21 9,2725 9,2675 4,5285 4,5285 41,99051625 41,96787375 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-22 9,2615 9,2565 4,5439 4,5439 42,08332985 42,06061035 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-27 9,3855 9,3805 4,4783 4,4783 42,03108465 42,00869315 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-28 9,3995 9,3945 4,4929 4,4929 42,23101355 42,20854905 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-29 9,4215 9,4165 4,5275 4,5275 42,65584125 42,63320375 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-06-30 9,4415 9,4365 4,5442 4,5442 42,9040643 42,8813433 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-01 9,4595 9,4545 4,5494 4,5494 43,0350493 43,0123023 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-04 9,4795 9,4745 4,5775 4,5775 43,39241125 43,36952375 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-05 9,4575 9,4525 4,5749 4,5749 43,26711675 43,24424225 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-06 9,4195 9,4145 4,612 4,612 43,442734 43,419674 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-07 9,3965 9,3915 4,477 4,477 42,0681305 42,0457455 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-08 9,4175 9,4125 4,5982 4,5982 43,3035485 43,2805575 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-11 9,4665 9,4615 4,6476 4,6476 43,9965054 43,9732674 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-12 9,4645 9,4595 4,6376 4,6376 43,8925652 43,8693772 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-13 9,3915 9,3865 4,6568 4,6568 43,7343372 43,7110532 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-14 9,3675 9,3625 4,6754 4,6754 43,7968095 43,7734325 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-15 9,4055 9,4005 4,6689 4,6689 43,91333895 43,88999445 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-18 9,3895 9,3845 4,6737 4,6737 43,88370615 43,86033765 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-19 9,4425 9,4375 4,674 4,674 44,134245 44,110875 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-20 9,4265 9,4215 4,7023 4,7023 44,32623095 44,30271945 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-21 9,4625 9,4575 4,6937 4,6937 44,41413625 44,39066775 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-22 9,4495 9,4445 4,6738 4,6738 44,1650731 44,1417041 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-25 9,4275 9,4225 4,6795 4,6795 44,11598625 44,09258875 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-26 9,4155 9,4105 4,7004 4,7004 44,2566162 44,2331142 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-27 9,4725 9,4675 4,7131 4,7131 44,64483975 44,62127425 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-28 9,4515 9,4465 4,739 4,739 44,7906585 44,7669635 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-07-29 9,3885 9,3835 4,7424 4,7424 44,5240224 44,5003104 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-01 9,3985 9,3935 4,7468 4,7468 44,6127998 44,5890658 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-02 9,3995 9,3945 4,7564 4,7564 44,7077818 44,6839998 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-03 9,3755 9,3705 4,7775 4,7775 44,79145125 44,76756375 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-04 9,3735 9,3685 4,7669 4,7669 44,68253715 44,65870265 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-05 9,3355 9,3305 4,7475 4,7475 44,32028625 44,29654875 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-08 9,3335 9,3285 4,7604 4,7604 44,4311934 44,4073914 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-09 9,3455 9,3405 4,7556 4,7556 44,4434598 44,4196818 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-10 9,3535 9,3485 4,8066 4,8066 44,9585331 44,9345001 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-11 9,3365 9,3315 4,8004 4,8004 44,8189346 44,7949326 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-12 9,3025 9,2975 4,7906 4,7906 44,5645565 44,5406035 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-16 9,2995 9,2945 4,8072 4,8072 44,7045564 44,6805204 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-17 9,3405 9,3355 4,7785 4,7785 44,63357925 44,60968675 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-18 9,3365 9,3315 4,7638 4,7638 44,4772187 44,4533997 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-19 9,3395 9,3345 4,7856 4,7856 44,6951112 44,6711832 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-22 9,3655 9,3605 4,8033 4,8033 44,98530615 44,96128965 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-23 9,3715 9,3665 4,7804 4,7804 44,7995186 44,7756166 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-24 9,3365 9,3315 4,7549 4,7549 44,39412385 44,37034935 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-25 9,3335 9,3285 4,7357 4,7357 44,20065595 44,17697745 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-26 9,3415 9,3365 4,7485 4,7485 44,35811275 44,33437025 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-29 9,3295 9,3245 4,706 4,706 43,904627 43,881097 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-30 9,3285 9,3235 4,7346 4,7346 44,1667161 44,1430431 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-08-31 9,3585 9,3535 4,7471 4,7471 44,42573535 44,40199985 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-01 9,3365 9,3315 4,7982 4,7982 44,7983943 44,7744033 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-02 9,3025 9,2975 4,7951 4,7951 44,60641775 44,58244225 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-05 9,2845 9,2795 4,809 4,809 44,6491605 44,6251155 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-06 9,3225 9,3175 4,8467 4,8467 45,18336075 45,15912725 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-07 9,3075 9,3025 4,8744 4,8744 45,368478 45,344106 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-08 9,3255 9,3205 4,8852 4,8852 45,5569326 45,5325066 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-09 9,3445 9,3395 4,9008 4,9008 45,7955256 45,7710216 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-12 9,3015 9,2965 4,9172 4,9172 45,7373358 45,7127498 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-13 9,3015 9,2965 4,892 4,892 45,502938 45,478478 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-14 9,3365 9,3315 4,8895 4,8895 45,65081675 45,62636925 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-15 9,3425 9,3375 4,9053 4,9053 45,82776525 45,80323875 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-16 9,3465 9,3415 4,9189 4,9189 45,97449885 45,94990435 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-19 9,3355 9,3305 4,9277 4,9277 46,00254335 45,97790485 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-20 9,3395 9,3345 4,9455 4,9455 46,18849725 46,16376975 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-21 9,3405 9,3355 4,9188 4,9188 45,9440514 45,9194574 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-22 9,3405 9,3355 4,9085 4,9085 45,84784425 45,82330175 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-23 9,3695 9,3645 4,909 4,909 45,9948755 45,9703305 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-26 9,3815 9,3765 4,9528 4,9528 46,4646932 46,4399292 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-27 9,3885 9,3835 4,9485 4,9485 46,45899225 46,43424975 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-28 9,3935 9,3885 4,9663 4,9663 46,65093905 46,62610755 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-29 9,3845 9,3795 4,985 4,985 46,7817325 46,7568075 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-09-30 9,3435 9,3385 4,9918 4,9918 46,6408833 46,6159243 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-03 9,3025 9,2975 5,0151 5,0151 46,65296775 46,62789225 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-04 9,3185 9,3135 5,0319 5,0319 46,88976015 46,86460065 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-05 9,3105 9,3055 5,0208 5,0208 46,7461584 46,7210544 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-06 9,3015 9,2965 4,9491 4,9491 46,03405365 46,00930815 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-07 9,3385 9,3335 4,9499 4,9499 46,22464115 46,19989165 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-10 9,3465 9,3415 4,9833 4,9833 46,57641345 46,55149695 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-11 9,3395 9,3345 4,9935 4,9935 46,63679325 46,61182575 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-12 9,3375 9,3325 4,958 4,958 46,295325 46,270535 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-13 9,3815 9,3765 4,8874 4,8874 45,8511431 45,8267061 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-14 9,4135 9,4085 4,8445 4,8445 45,60370075 45,57947825 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-17 9,4575 9,4525 4,8624 4,8624 45,986148 45,961836 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-18 9,4625 9,4575 4,8798 4,8798 46,1751075 46,1507085 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-19 9,4605 9,4555 4,7707 4,7707 45,13320735 45,10935385 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-20 9,4935 9,4885 4,8349 4,8349 45,90012315 45,87594865 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-21 9,4915 9,4865 4,7763 4,7763 45,33425145 45,31036995 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-24 9,5455 9,5405 4,8257 4,8257 46,06371935 46,03959085 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-25 9,5465 9,5415 4,8518 4,8518 46,3177087 46,2934497 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-26 9,4975 9,4925 4,8677 4,8677 46,23098075 46,20664225 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-27 9,5355 9,5305 4,814 4,814 45,903897 45,879827 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-28 9,5135 9,5085 4,7589 4,7589 45,27379515 45,25000065 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-10-31 9,5495 9,5445 4,8527 4,8527 46,34085865 46,31659515 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-02 9,5855 9,5805 4,9117 4,9117 47,08110035 47,05654185 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-03 9,6515 9,6465 4,948 4,948 47,755622 47,730882 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-04 9,5875 9,5825 4,9717 4,9717 47,66617375 47,64131525 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-07 9,6075 9,6025 4,9532 4,9532 47,587869 47,563103 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-08 9,5685 9,5635 4,979 4,979 47,6415615 47,6166665 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-09 9,5575 9,5525 4,9604 4,9604 47,409023 47,384221 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-10 9,6105 9,6055 4,9677 4,9677 47,74208085 47,71724235 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-11 9,6365 9,6315 4,9944 4,9944 48,1285356 48,1035636 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-14 9,5505 9,5455 4,9991 4,9991 47,74390455 47,71890905 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-15 9,5805 9,5755 4,9803 4,9803 47,71376415 47,68886265 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-16 9,6235 9,6185 4,9443 4,9443 47,58147105 47,55674955 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-17 9,6355 9,6305 4,9914 4,9914 48,0946347 48,0696777 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-18 9,6085 9,6035 5,0199 5,0199 48,23370915 48,20860965 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-21 9,5915 9,5865 5,0156 5,0156 48,1071274 48,0820494 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-22 9,5585 9,5535 5,0315 5,0315 48,09359275 48,06843525 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-23 9,5155 9,5105 5,0439 5,0439 47,99523045 47,97001095 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-24 9,5125 9,5075 5,0341 5,0341 47,88687625 47,86170575 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-25 9,4965 9,4915 5,0502 5,0502 47,9592243 47,9339733 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-28 9,4835 9,4785 5,0813 5,0813 48,18850855 48,16310205 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-29 9,4785 9,4735 5,0321 5,0321 47,69675985 47,67159935 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-11-30 9,5295 9,5245 5,0262 5,0262 47,8971729 47,8720419 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-01 9,5165 9,5115 5,0511 5,0511 48,06879315 48,04353765 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-02 9,4905 9,4855 5,1019 5,1019 48,41958195 48,39407245 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-05 9,4065 9,4015 5,1114 5,1114 48,0803841 48,0548271 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-06 9,4185 9,4135 5,1286 5,1286 48,3037191 48,2780761 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-07 9,4255 9,4205 5,1443 5,1443 48,48759965 48,46187815 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-08 9,3965 9,3915 5,1144 5,1144 48,0574596 48,0318876 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-12 9,4315 9,4265 5,1428 5,1428 48,5043182 48,4786042 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-13 9,4295 9,4245 5,1076 5,1076 48,1621142 48,1365762 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-14 9,4365 9,4315 5,1039 5,1039 48,16295235 48,13743285 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-15 9,4345 9,4295 5,0833 5,0833 47,95839385 47,93297735 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-16 9,4765 9,4715 5,0991 5,0991 48,32162115 48,29612565 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-19 9,4535 9,4485 5,1102 5,1102 48,3092757 48,2837247 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-20 9,4015 9,3965 5,1199 5,1199 48,13473985 48,10914035 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-21 9,4485 9,4435 5,1454 5,1454 48,6163119 48,5905849 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-22 9,4365 9,4315 5,1452 5,1452 48,5526798 48,5269538 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-23 9,4425 9,4375 5,1495 5,1495 48,62415375 48,59840625 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-27 9,4915 9,4865 5,1728 5,1728 49,0976312 49,0717672 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-28 9,4345 9,4295 5,1747 5,1747 48,82070715 48,79483365 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-29 9,4115 9,4065 5,1935 5,1935 48,87862525 48,85265775 651380 Aviva Fund Services S.A. Aviva Morley - European Socially Responsible Equity Fund EUR 2005-12-30 9,4325 9,4275 5,1653 5,1653 48,72169225 48,69586575 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-03 6,668 6,658 6,1103 6,1103 40,7434804 40,6823774 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-04 6,728 6,718 6,0654 6,0654 40,8080112 40,7473572 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-05 6,828 6,818 5,9893 5,9893 40,8949404 40,8350474 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-07 6,87 6,86 6,0057 6,0057 41,259159 41,199102 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-10 6,96091 6,95091 5,9852 5,9852 41,662438532 41,602586532 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-11 6,96091 6,95091 6,0062 6,0062 41,808617642 41,748555642 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-12 6,913 6,903 5,9906 5,9906 41,4130178 41,3531118 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-13 6,843 6,833 6,022 6,022 41,208546 41,148326 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-14 6,915 6,905 5,9997 5,9997 41,4879255 41,4279285 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-17 6,915 6,905 6,0278 6,0278 41,682237 41,621959 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-18 6,968 6,958 6,0048 6,0048 41,8414464 41,7813984 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-19 6,91 6,9 6,0381 6,0381 41,723271 41,66289 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-20 6,96 6,95 5,9733 5,9733 41,574168 41,514435 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-21 6,978 6,968 5,9495 5,9495 41,515611 41,456116 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-24 6,933 6,923 5,9718 5,9718 41,4024894 41,3427714 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-25 6,95 6,94 5,9622 5,9622 41,43729 41,377668 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-26 6,995 6,985 5,9696 5,9696 41,757352 41,697656 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-27 6,93 6,92 5,9847 5,9847 41,473971 41,414124 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-28 6,985 6,975 5,9914 5,9914 41,849929 41,790015 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-01-31 6,998 6,988 5,9871 5,9871 41,8977258 41,8378548 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-01 6,993 6,983 5,9993 5,9993 41,9531049 41,8931119 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-02 6,953 6,943 6,0267 6,0267 41,9036451 41,8433781 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-03 6,968 6,958 6,0268 6,0268 41,9947424 41,9344744 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-04 7,01 7 6,0213 6,0213 42,209313 42,1491 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-07 7,065 7,055 6,0388 6,0388 42,664122 42,603734 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-08 7,123 7,113 6,0083 6,0083 42,7971209 42,7370379 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-09 7,1 7,09 6,0184 6,0184 42,73064 42,670456 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-10 7,088 7,078 5,9973 5,9973 42,5088624 42,4488894 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-11 7,068 7,058 6,0214 6,0214 42,5592552 42,4990412 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-14 7,03 7,02 6,0608 6,0608 42,607424 42,546816 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-15 7,005 6,995 6,0647 6,0647 42,4832235 42,4225765 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-16 6,973 6,963 6,0705 6,0705 42,3295965 42,2688915 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-17 6,97 6,96 6,0763 6,0763 42,351811 42,291048 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-18 6,965 6,955 6,0539 6,0539 42,1654135 42,1048745 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-21 6,978 6,968 6,0539 6,0539 42,2441142 42,1835752 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-22 6,905 6,895 6,0879 6,0879 42,0369495 41,9760705 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-23 6,895 6,885 6,0449 6,0449 41,6795855 41,6191365 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-24 6,858 6,848 6,0738 6,0738 41,6541204 41,5933824 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-25 6,885 6,875 6,071 6,071 41,798835 41,738125 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-02-28 6,828 6,818 6,1245 6,1245 41,818086 41,756841 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-01 6,87 6,86 6,1027 6,1027 41,925549 41,864522 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-02 6,888 6,878 6,0784 6,0784 41,8680192 41,8072352 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-03 6,903 6,893 6,0951 6,0951 42,0744753 42,0135243 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-04 6,9 6,89 6,0898 6,0898 42,01962 41,958722 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-07 6,84 6,83 6,1368 6,1368 41,975712 41,914344 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-08 6,825 6,815 6,1506 6,1506 41,977845 41,916339 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-09 6,76 6,75 6,1699 6,1699 41,708524 41,646825 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-10 6,745 6,735 6,1369 6,1369 41,3933905 41,3320215 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-11 6,765 6,755 6,1399 6,1399 41,5364235 41,4750245 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-14 6,76 6,75 6,1123 6,1123 41,319148 41,258025 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-15 6,815 6,805 6,128 6,128 41,76232 41,70104 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-16 6,81 6,8 6,1184 6,1184 41,666304 41,60512 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-17 6,795 6,785 6,1056 6,1056 41,487552 41,426496 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-18 6,828 6,818 6,0903 6,0903 41,5845684 41,5236654 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-21 6,908 6,898 6,0527 6,0527 41,8120516 41,7515246 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-22 6,928 6,918 6,0468 6,0468 41,8922304 41,8317624 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-23 6,973 6,963 5,9931 5,9931 41,7898863 41,7299553 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-24 7,008 6,998 5,9745 5,9745 41,869296 41,809551 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-29 7,055 7,045 5,964 5,964 42,07602 42,01638 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-30 7,053 7,043 5,9461 5,9461 41,9378433 41,8783823 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-03-31 7,065 7,055 5,9883 5,9883 42,3073395 42,2474565 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-01 7,07 7,06 5,9933 5,9933 42,372631 42,312698 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-04 7,113 7,103 5,9559 5,9559 42,3643167 42,3047577 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-05 7,163 7,153 5,9546 5,9546 42,6527998 42,5932538 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-06 7,125 7,115 5,9778 5,9778 42,591825 42,532047 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-07 7,083 7,073 5,9926 5,9926 42,4455858 42,3856598 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-08 7,153 7,143 5,9849 5,9849 42,8099897 42,7501407 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-11 7,098 7,088 5,9962 5,9962 42,5610276 42,5010656 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-12 7,048 7,038 6,0043 6,0043 42,3183064 42,2582634 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-13 7,075 7,065 6,0164 6,0164 42,56603 42,505866 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-14 7,12 7,11 5,9607 5,9607 42,440184 42,380577 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-15 7,17 7,16 5,9341 5,9341 42,547497 42,488156 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-18 7,08 7,07 5,9157 5,9157 41,883156 41,823999 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-19 7,068 7,058 5,929 5,929 41,906172 41,846882 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-20 7,043 7,033 5,9585 5,9585 41,9657155 41,9061305 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-21 7,025 7,015 5,9405 5,9405 41,7320125 41,6726075 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-22 7,023 7,013 5,9801 5,9801 41,9982423 41,9384413 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-25 7,04 7,03 5,9587 5,9587 41,949248 41,889661 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-26 7,035 7,025 5,9722 5,9722 42,014427 41,954705 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-27 7,085 7,075 5,9376 5,9376 42,067896 42,00852 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-28 7,085 7,075 5,9447 5,9447 42,1181995 42,0587525 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-04-29 7,08 7,07 5,939 5,939 42,04812 41,98873 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-02 7,15 7,14 5,9495 5,9495 42,538925 42,47943 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-03 7,178 7,168 5,9553 5,9553 42,7471434 42,6875904 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-04 7,11 7,1 5,9774 5,9774 42,499314 42,43954 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-06 7,085 7,075 6,007 6,007 42,559595 42,499525 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-09 7,168 7,158 5,9727 5,9727 42,8123136 42,7525866 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-10 7,178 7,168 5,9819 5,9819 42,9380782 42,8782592 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-11 7,15 7,14 5,9688 5,9688 42,67692 42,617232 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-12 7,243 7,233 5,9517 5,9517 43,1081631 43,0486461 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-13 7,265 7,255 5,8951 5,8951 42,8279015 42,7689505 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-17 7,313 7,303 5,904 5,904 43,175952 43,116912 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-18 7,3 7,29 5,9198 5,9198 43,21454 43,155342 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-19 7,26 7,25 5,9581 5,9581 43,255806 43,196225 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-20 7,28 7,27 5,9576 5,9576 43,371328 43,311752 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-23 7,32 7,31 5,9431 5,9431 43,503492 43,444061 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-24 7,295 7,285 5,9738 5,9738 43,578871 43,519133 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-25 7,298 7,288 5,9611 5,9611 43,5041078 43,4444968 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-26 7,33 7,32 5,9623 5,9623 43,703659 43,644036 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-27 7,338 7,328 5,9713 5,9713 43,8173994 43,7576864 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-30 7,338 7,328 5,9755 5,9755 43,848219 43,788464 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-05-31 7,403 7,393 5,9529 5,9529 44,0693187 44,0097897 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-01 7,428 7,418 5,9279 5,9279 44,0324412 43,9731622 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-02 7,473 7,463 5,964 5,964 44,568972 44,509332 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-03 7,438 7,428 5,9733 5,9733 44,4294054 44,3696724 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-07 7,448 7,438 5,9765 5,9765 44,512972 44,453207 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-08 7,435 7,425 5,9849 5,9849 44,4977315 44,4378825 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-09 7,523 7,513 5,9515 5,9515 44,7731345 44,7136195 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-10 7,525 7,515 5,9743 5,9743 44,9566075 44,8968645 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-13 7,643 7,633 5,9029 5,9029 45,1158647 45,0568357 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-14 7,663 7,653 5,9182 5,9182 45,3511666 45,2919846 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-15 7,693 7,683 5,909 5,909 45,457937 45,398847 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-16 7,678 7,668 5,9254 5,9254 45,4952212 45,4359672 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-17 7,643 7,633 5,9528 5,9528 45,4972504 45,4377224 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-20 7,543 7,533 5,9641 5,9641 44,9872063 44,9275653 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-21 7,648 7,638 5,9441 5,9441 45,4604768 45,4010358 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-22 7,608 7,598 5,963 5,963 45,366504 45,306874 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-27 7,73 7,72 5,9253 5,9253 45,802569 45,743316 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-28 7,76 7,75 5,9115 5,9115 45,87324 45,814125 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-29 7,833 7,823 5,9079 5,9079 46,2765807 46,2175017 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-06-30 7,823 7,813 5,9059 5,9059 46,2018557 46,1427967 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-01 7,858 7,848 5,9028 5,9028 46,3842024 46,3251744 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-04 7,945 7,935 5,8714 5,8714 46,648273 46,589559 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-05 7,963 7,953 5,8581 5,8581 46,6480503 46,5894693 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-06 7,895 7,885 5,8843 5,8843 46,4565485 46,3977055 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-07 7,878 7,868 5,8588 5,8588 46,1556264 46,0970384 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-08 7,913 7,903 5,862 5,862 46,386006 46,327386 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-11 7,89 7,88 5,9054 5,9054 46,593606 46,534552 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-12 7,77 7,76 5,9505 5,9505 46,235385 46,17588 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-13 7,703 7,693 5,955 5,955 45,871365 45,811815 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-14 7,76 7,75 5,9392 5,9392 46,088192 46,0288 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-15 7,76 7,75 5,939 5,939 46,08664 46,02725 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-18 7,78 7,77 5,9277 5,9277 46,117506 46,058229 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-19 7,878 7,868 5,8905 5,8905 46,405359 46,346454 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-20 7,818 7,808 5,9236 5,9236 46,3107048 46,2514688 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-21 7,775 7,765 5,9466 5,9466 46,234815 46,175349 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-22 7,758 7,748 5,9618 5,9618 46,2516444 46,1920264 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-25 7,838 7,828 5,9561 5,9561 46,6839118 46,6243508 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-26 7,818 7,808 5,9403 5,9403 46,4412654 46,3818624 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-27 7,905 7,895 5,9302 5,9302 46,878231 46,818929 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-28 7,848 7,838 5,9595 5,9595 46,770156 46,710561 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-07-29 7,748 7,738 5,9872 5,9872 46,3888256 46,3289536 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-01 7,72 7,71 5,988 5,988 46,22736 46,16748 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-02 7,7 7,69 6,0014 6,0014 46,21078 46,150766 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-03 7,685 7,675 6,0405 6,0405 46,4212425 46,3608375 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-04 7,618 7,608 6,0389 6,0389 46,0043402 45,9439512 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-05 7,548 7,538 6,0267 6,0267 45,4895316 45,4292646 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-08 7,558 7,548 6,0253 6,0253 45,5392174 45,4789644 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-09 7,548 7,538 6,0122 6,0122 45,3800856 45,3199636 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-10 7,558 7,548 6,0584 6,0584 45,7893872 45,7288032 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-11 7,523 7,513 6,0636 6,0636 45,6164628 45,5558268 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-12 7,46 7,45 6,0997 6,0997 45,503762 45,442765 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-16 7,523 7,513 6,0755 6,0755 45,7059865 45,6452315 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-17 7,605 7,595 6,0527 6,0527 46,0307835 45,9702565 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-18 7,61 7,6 6,0267 6,0267 45,863187 45,80292 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-19 7,698 7,688 6,0256 6,0256 46,3850688 46,3248128 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-22 7,69 7,68 6,0544 6,0544 46,558336 46,497792 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-23 7,663 7,653 6,0414 6,0414 46,2952482 46,2348342 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-24 7,673 7,663 6,025 6,025 46,229825 46,169575 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-25 7,588 7,578 6,033 6,033 45,778404 45,718074 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-26 7,578 7,568 6,042 6,042 45,786276 45,725856 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-29 7,573 7,563 6,0068 6,0068 45,4894964 45,4294284 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-30 7,633 7,623 5,9996 5,9996 45,7949468 45,7349508 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-08-31 7,668 7,658 6,0065 6,0065 46,057842 45,997777 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-01 7,568 7,558 6,0872 6,0872 46,0679296 46,0070576 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-02 7,435 7,425 6,1353 6,1353 45,6159555 45,5546025 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-05 7,41 7,4 6,1399 6,1399 45,496659 45,43526 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-06 7,485 7,475 6,1197 6,1197 45,8059545 45,7447575 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-07 7,43 7,42 6,1395 6,1395 45,616485 45,55509 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-08 7,498 7,488 6,1201 6,1201 45,8885098 45,8273088 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-09 7,523 7,513 6,1169 6,1169 46,0174387 45,9562697 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-12 7,555 7,545 6,1407 6,1407 46,3929885 46,3315815 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-13 7,57 7,56 6,1031 6,1031 46,200467 46,139436 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-14 7,61 7,6 6,1176 6,1176 46,554936 46,49376 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-15 7,658 7,648 6,106 6,106 46,759748 46,698688 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-16 7,613 7,603 6,1078 6,1078 46,4986814 46,4376034 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-19 7,698 7,688 6,0962 6,0962 46,9285476 46,8675856 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-20 7,688 7,678 6,1239 6,1239 47,0805432 47,0193042 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-21 7,663 7,653 6,1184 6,1184 46,8852992 46,8241152 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-22 7,648 7,638 6,1096 6,1096 46,7262208 46,6651248 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-23 7,733 7,723 6,0903 6,0903 47,0962899 47,0353869 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-26 7,798 7,788 6,0726 6,0726 47,3541348 47,2934088 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-27 7,825 7,815 6,0598 6,0598 47,417935 47,357337 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-28 7,81 7,8 6,0686 6,0686 47,395766 47,33508 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-29 7,785 7,775 6,0931 6,0931 47,4347835 47,3738525 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-09-30 7,785 7,775 6,0977 6,0977 47,4705945 47,4096175 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-03 7,783 7,773 6,0711 6,0711 47,2513713 47,1906603 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-04 7,82 7,81 6,0727 6,0727 47,488514 47,427787 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-05 7,795 7,785 6,0502 6,0502 47,161309 47,100807 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-06 7,713 7,703 6,0028 6,0028 46,2995964 46,2395684 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-07 7,683 7,673 5,9989 5,9989 46,0895487 46,0295597 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-10 7,698 7,688 6,0098 6,0098 46,2634404 46,2033424 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-11 7,77 7,76 5,9969 5,9969 46,595913 46,535944 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-12 7,805 7,795 5,9824 5,9824 46,692632 46,632808 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-13 7,83 7,82 5,9473 5,9473 46,567359 46,507886 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-14 7,833 7,823 5,9355 5,9355 46,4927715 46,4334165 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-17 7,835 7,825 5,9531 5,9531 46,6425385 46,5830075 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-18 7,893 7,883 5,9324 5,9324 46,8244332 46,7651092 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-19 7,96 7,95 5,903 5,903 46,98788 46,92885 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-20 7,93 7,92 5,9406 5,9406 47,108958 47,049552 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-21 7,883 7,873 5,9097 5,9097 46,5861651 46,5270681 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-24 7,995 7,985 5,9043 5,9043 47,2048785 47,1458355 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-25 7,99 7,98 5,9588 5,9588 47,610812 47,551224 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-26 7,868 7,858 5,9695 5,9695 46,968026 46,908331 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-27 7,868 7,858 5,9709 5,9709 46,9790412 46,9193322 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-28 7,825 7,815 5,9441 5,9441 46,5125825 46,4531415 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-10-31 7,905 7,895 5,9789 5,9789 47,2632045 47,2034155 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-02 7,98 7,97 6,0034 6,0034 47,907132 47,847098 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-03 8,01 8 6,028 6,028 48,28428 48,224 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-04 8,028 8,018 6,0314 6,0314 48,4200792 48,3597652 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-07 8,135 8,125 6,0049 6,0049 48,8498615 48,7898125 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-08 8,17 8,16 6,0016 6,0016 49,033072 48,973056 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-09 8,12 8,11 6,0101 6,0101 48,802012 48,741911 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-10 8,173 8,163 6,0134 6,0134 49,1475182 49,0873842 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-11 8,235 8,225 6,0182 6,0182 49,559877 49,499695 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-14 8,133 8,123 6,0182 6,0182 48,9460206 48,8858386 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-15 8,185 8,175 5,9981 5,9981 49,0944485 49,0344675 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-16 8,21 8,2 5,9951 5,9951 49,219771 49,15982 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-17 8,258 8,248 6,0364 6,0364 49,8485912 49,7882272 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-18 8,223 8,213 6,0633 6,0633 49,8585159 49,7978829 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-21 8,123 8,113 6,0799 6,0799 49,3870277 49,3262287 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-22 8,15 8,14 6,0753 6,0753 49,513695 49,452942 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-23 8,048 8,038 6,1095 6,1095 49,169256 49,108161 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-24 8,053 8,043 6,1183 6,1183 49,2706699 49,2094869 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-25 8,078 8,068 6,1157 6,1157 49,4026246 49,3414676 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-28 8,118 8,108 6,1137 6,1137 49,6310166 49,5698796 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-29 8,015 8,005 6,1074 6,1074 48,950811 48,889737 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-11-30 8,088 8,078 6,0883 6,0883 49,2421704 49,1812874 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-01 8,083 8,073 6,0916 6,0916 49,2384028 49,1774868 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-02 8,103 8,093 6,133 6,133 49,695699 49,634369 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-05 8,045 8,035 6,1454 6,1454 49,439743 49,378289 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-06 7,993 7,983 6,1445 6,1445 49,1129885 49,0515435 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-07 8,015 8,005 6,1487 6,1487 49,2818305 49,2203435 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-08 7,988 7,978 6,1389 6,1389 49,0375332 48,9761442 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-12 7,953 7,943 6,1771 6,1771 49,1264763 49,0647053 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-13 7,905 7,895 6,1802 6,1802 48,854481 48,792679 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-14 7,848 7,838 6,2119 6,2119 48,7509912 48,6888722 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-15 7,858 7,848 6,237 6,237 49,010346 48,947976 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-16 7,903 7,893 6,2252 6,2252 49,1977556 49,1355036 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-19 7,865 7,855 6,23 6,23 48,99895 48,93665 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-20 7,848 7,838 6,2164 6,2164 48,7863072 48,7241432 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-21 7,948 7,938 6,214 6,214 49,388872 49,326732 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-22 7,98 7,97 6,2156 6,2156 49,600488 49,538332 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-23 7,955 7,945 6,238 6,238 49,62329 49,56091 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-27 8,01 8 6,2475 6,2475 50,042475 49,98 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-28 7,915 7,905 6,2397 6,2397 49,3872255 49,3248285 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-29 7,938 7,928 6,2337 6,2337 49,4831106 49,4207736 508069 Aviva Fund Services S.A. Aviva Morley - Global Balanced Fund USD 2005-12-30 7,958 7,948 6,2241 6,2241 49,5313878 49,4691468 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-03 6,668 6,658 6,5215 6,5215 43,485362 43,420147 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-04 6,728 6,718 6,4732 6,4732 43,5516896 43,4869576 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-05 6,828 6,818 6,3948 6,3948 43,6636944 43,5997464 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-07 6,87 6,86 6,4087 6,4087 44,027769 43,963682 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-10 6,96091 6,95091 6,3874 6,3874 44,462116534 44,398242534 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-11 6,96091 6,95091 6,3985 6,3985 44,539382635 44,475397635 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-12 6,913 6,903 6,3735 6,3735 44,0600055 43,9962705 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-13 6,843 6,833 6,4045 6,4045 43,8259935 43,7619485 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-14 6,915 6,905 6,3624 6,3624 43,995996 43,932372 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-17 6,915 6,905 6,39 6,39 44,18685 44,12295 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-18 6,968 6,958 6,3693 6,3693 44,3812824 44,3175894 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-19 6,91 6,9 6,3982 6,3982 44,211562 44,14758 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-20 6,96 6,95 6,3419 6,3419 44,139624 44,076205 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-21 6,978 6,968 6,3207 6,3207 44,1058446 44,0426376 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-24 6,933 6,923 6,3114 6,3114 43,7569362 43,6938222 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-25 6,95 6,94 6,3119 6,3119 43,867705 43,804586 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-26 6,995 6,985 6,3217 6,3217 44,2202915 44,1570745 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-27 6,93 6,92 6,3359 6,3359 43,907787 43,844428 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-28 6,985 6,975 6,339 6,339 44,277915 44,214525 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-01-31 6,998 6,988 6,3303 6,3303 44,2994394 44,2361364 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-01 6,993 6,983 6,3419 6,3419 44,3489067 44,2854877 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-02 6,953 6,943 6,3605 6,3605 44,2245565 44,1609515 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-03 6,968 6,958 6,3463 6,3463 44,2210184 44,1575554 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-04 7,01 7 6,3336 6,3336 44,398536 44,3352 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-07 7,065 7,055 6,3431 6,3431 44,8140015 44,7505705 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-08 7,123 7,113 6,32 6,32 45,01736 44,95416 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-09 7,1 7,09 6,3137 6,3137 44,82727 44,764133 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-10 7,088 7,078 6,2878 6,2878 44,5679264 44,5050484 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-11 7,068 7,058 6,3006 6,3006 44,5326408 44,4696348 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-14 7,03 7,02 6,3426 6,3426 44,588478 44,525052 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-15 7,005 6,995 6,3305 6,3305 44,3451525 44,2818475 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-16 6,973 6,963 6,3403 6,3403 44,2109119 44,1475089 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-17 6,97 6,96 6,3436 6,3436 44,214892 44,151456 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-18 6,965 6,955 6,3297 6,3297 44,0863605 44,0230635 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-21 6,978 6,968 6,3213 6,3213 44,1100314 44,0468184 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-22 6,905 6,895 6,3442 6,3442 43,806701 43,743259 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-23 6,895 6,885 6,3208 6,3208 43,581916 43,518708 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-24 6,858 6,848 6,3484 6,3484 43,5373272 43,4738432 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-25 6,885 6,875 6,3487 6,3487 43,7107995 43,6473125 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-02-28 6,828 6,818 6,3956 6,3956 43,6691568 43,6052008 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-01 6,87 6,86 6,3856 6,3856 43,869072 43,805216 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-02 6,888 6,878 6,3678 6,3678 43,8614064 43,7977284 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-03 6,903 6,893 6,3689 6,3689 43,9645167 43,9008277 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-04 6,9 6,89 6,3523 6,3523 43,83087 43,767347 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-07 6,84 6,83 6,3883 6,3883 43,695972 43,632089 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-08 6,825 6,815 6,3948 6,3948 43,64451 43,580562 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-09 6,76 6,75 6,4209 6,4209 43,405284 43,341075 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-10 6,745 6,735 6,3975 6,3975 43,1511375 43,0871625 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-11 6,765 6,755 6,4014 6,4014 43,305471 43,241457 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-14 6,76 6,75 6,3829 6,3829 43,148404 43,084575 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-15 6,815 6,805 6,3882 6,3882 43,535583 43,471701 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-16 6,81 6,8 6,3852 6,3852 43,483212 43,41936 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-17 6,795 6,785 6,3541 6,3541 43,1761095 43,1125685 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-18 6,828 6,818 6,3367 6,3367 43,2669876 43,2036206 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-21 6,908 6,898 6,3125 6,3125 43,60675 43,543625 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-22 6,928 6,918 6,2978 6,2978 43,6311584 43,5681804 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-23 6,973 6,963 6,241 6,241 43,518493 43,456083 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-24 7,008 6,998 6,2239 6,2239 43,6170912 43,5548522 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-29 7,055 7,045 6,2053 6,2053 43,7783915 43,7163385 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-30 7,053 7,043 6,1873 6,1873 43,6390269 43,5771539 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-03-31 7,065 7,055 6,2189 6,2189 43,9365285 43,8743395 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-01 7,07 7,06 6,216 6,216 43,94712 43,88496 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-04 7,113 7,103 6,1731 6,1731 43,9092603 43,8475293 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-05 7,163 7,153 6,1644 6,1644 44,1555972 44,0939532 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-06 7,125 7,115 6,1844 6,1844 44,06385 44,002006 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-07 7,083 7,073 6,1966 6,1966 43,8905178 43,8285518 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-08 7,153 7,143 6,2019 6,2019 44,3621907 44,3001717 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-11 7,098 7,088 6,2008 6,2008 44,0132784 43,9512704 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-12 7,048 7,038 6,1961 6,1961 43,6701128 43,6081518 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-13 7,075 7,065 6,1945 6,1945 43,8260875 43,7641425 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-14 7,12 7,11 6,1502 6,1502 43,789424 43,727922 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-15 7,17 7,16 6,1044 6,1044 43,768548 43,707504 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-18 7,08 7,07 6,0831 6,0831 43,068348 43,007517 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-19 7,068 7,058 6,0987 6,0987 43,1056116 43,0446246 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-20 7,043 7,033 6,1202 6,1202 43,1045686 43,0433666 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-21 7,025 7,015 6,1066 6,1066 42,898865 42,837799 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-22 7,023 7,013 6,1157 6,1157 42,9505611 42,8894041 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-25 7,04 7,03 6,0992 6,0992 42,938368 42,877376 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-26 7,035 7,025 6,1049 6,1049 42,9479715 42,8869225 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-27 7,085 7,075 6,0672 6,0672 42,986112 42,92544 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-28 7,085 7,075 6,0701 6,0701 43,0066585 42,9459575 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-04-29 7,08 7,07 6,0631 6,0631 42,926748 42,866117 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-02 7,15 7,14 6,0634 6,0634 43,35331 43,292676 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-03 7,178 7,168 6,0689 6,0689 43,5625642 43,5018752 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-04 7,11 7,1 6,0992 6,0992 43,365312 43,30432 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-06 7,085 7,075 6,1094 6,1094 43,285099 43,224005 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-09 7,168 7,158 6,0727 6,0727 43,5291136 43,4683866 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-10 7,178 7,168 6,0793 6,0793 43,6372154 43,5764224 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-11 7,15 7,14 6,0753 6,0753 43,438395 43,377642 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-12 7,243 7,233 6,0365 6,0365 43,7223695 43,6620045 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-13 7,265 7,255 6 6 43,59 43,53 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-17 7,313 7,303 5,9703 5,9703 43,6608039 43,6011009 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-18 7,3 7,29 5,9788 5,9788 43,64524 43,585452 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-19 7,26 7,25 6,0101 6,0101 43,633326 43,573225 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-20 7,28 7,27 6,019 6,019 43,81832 43,75813 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-23 7,32 7,31 6,0014 6,0014 43,930248 43,870234 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-24 7,295 7,285 6,0241 6,0241 43,9458095 43,8855685 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-25 7,298 7,288 6,0188 6,0188 43,9252024 43,8650144 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-26 7,33 7,32 6,0192 6,0192 44,120736 44,060544 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-27 7,338 7,328 6,0286 6,0286 44,2378668 44,1775808 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-30 7,338 7,328 6,0417 6,0417 44,3339946 44,2735776 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-05-31 7,403 7,393 6,0126 6,0126 44,5112778 44,4511518 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-01 7,428 7,418 5,9949 5,9949 44,5301172 44,4701682 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-02 7,473 7,463 6,0286 6,0286 45,0517278 44,9914418 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-03 7,438 7,428 6,0442 6,0442 44,9567596 44,8963176 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-07 7,448 7,438 6,0395 6,0395 44,982196 44,921801 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-08 7,435 7,425 6,0507 6,0507 44,9869545 44,9264475 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-09 7,523 7,513 6,024 6,024 45,318552 45,258312 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-10 7,525 7,515 6,0395 6,0395 45,4472375 45,3868425 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-13 7,643 7,633 5,9999 5,9999 45,8572357 45,7972367 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-14 7,663 7,653 6,0167 6,0167 46,1059721 46,0458051 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-15 7,693 7,683 6,0146 6,0146 46,2703178 46,2101718 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-16 7,678 7,668 6,03 6,03 46,29834 46,23804 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-17 7,643 7,633 6,0566 6,0566 46,2905938 46,2300278 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-20 7,543 7,533 6,062 6,062 45,725666 45,665046 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-21 7,648 7,638 6,0376 6,0376 46,1755648 46,1151888 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-22 7,608 7,598 6,0454 6,0454 45,9934032 45,9329492 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-27 7,73 7,72 6,0266 6,0266 46,585618 46,525352 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-28 7,76 7,75 6,0128 6,0128 46,659328 46,5992 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-29 7,833 7,823 6,0331 6,0331 47,2572723 47,1969413 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-06-30 7,823 7,813 6,0317 6,0317 47,1859891 47,1256721 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-01 7,858 7,848 6,0352 6,0352 47,4246016 47,3642496 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-04 7,945 7,935 6,0094 6,0094 47,744683 47,684589 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-05 7,963 7,953 5,9988 5,9988 47,7684444 47,7084564 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-06 7,895 7,885 6,0173 6,0173 47,5065835 47,4464105 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-07 7,878 7,868 6,0091 6,0091 47,3396898 47,2795988 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-08 7,913 7,903 6,0056 6,0056 47,5223128 47,4622568 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-11 7,89 7,88 6,0482 6,0482 47,720298 47,659816 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-12 7,77 7,76 6,093 6,093 47,34261 47,28168 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-13 7,703 7,693 6,0968 6,0968 46,9636504 46,9026824 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-14 7,76 7,75 6,0816 6,0816 47,193216 47,1324 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-15 7,76 7,75 6,0919 6,0919 47,273144 47,212225 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-18 7,78 7,77 6,0861 6,0861 47,349858 47,288997 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-19 7,878 7,868 6,0673 6,0673 47,7981894 47,7375164 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-20 7,818 7,808 6,0921 6,0921 47,6280378 47,5671168 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-21 7,775 7,765 6,1281 6,1281 47,6459775 47,5846965 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-22 7,758 7,748 6,1321 6,1321 47,5728318 47,5115108 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-25 7,838 7,828 6,1243 6,1243 48,0022634 47,9410204 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-26 7,818 7,808 6,1128 6,1128 47,7898704 47,7287424 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-27 7,905 7,895 6,1203 6,1203 48,3809715 48,3197685 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-28 7,848 7,838 6,1537 6,1537 48,2942376 48,2327006 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-07-29 7,748 7,738 6,1786 6,1786 47,8717928 47,8100068 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-01 7,72 7,71 6,1928 6,1928 47,808416 47,746488 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-02 7,7 7,69 6,1937 6,1937 47,69149 47,629553 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-03 7,685 7,675 6,2203 6,2203 47,8030055 47,7408025 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-04 7,618 7,608 6,2145 6,2145 47,342061 47,279916 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-05 7,548 7,538 6,2038 6,2038 46,8262824 46,7642444 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-08 7,558 7,548 6,1835 6,1835 46,734893 46,673058 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-09 7,548 7,538 6,1858 6,1858 46,6904184 46,6285604 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-10 7,558 7,548 6,2162 6,2162 46,9820396 46,9198776 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-11 7,523 7,513 6,242 6,242 46,958566 46,896146 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-12 7,46 7,45 6,2717 6,2717 46,786882 46,724165 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-16 7,523 7,513 6,2461 6,2461 46,9894103 46,9269493 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-17 7,605 7,595 6,2079 6,2079 47,2110795 47,1490005 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-18 7,61 7,6 6,1909 6,1909 47,112749 47,05084 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-19 7,698 7,688 6,1832 6,1832 47,5982736 47,5364416 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-22 7,69 7,68 6,2093 6,2093 47,749517 47,687424 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-23 7,663 7,653 6,2121 6,2121 47,6033223 47,5412013 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-24 7,673 7,663 6,193 6,193 47,518889 47,456959 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-25 7,588 7,578 6,2044 6,2044 47,0789872 47,0169432 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-26 7,578 7,568 6,2123 6,2123 47,0768094 47,0146864 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-29 7,573 7,563 6,182 6,182 46,816286 46,754466 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-30 7,633 7,623 6,1737 6,1737 47,1238521 47,0621151 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-08-31 7,668 7,658 6,1755 6,1755 47,353734 47,291979 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-01 7,568 7,558 6,2372 6,2372 47,2031296 47,1407576 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-02 7,435 7,425 6,2857 6,2857 46,7341795 46,6713225 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-05 7,41 7,4 6,289 6,289 46,60149 46,5386 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-06 7,485 7,475 6,2805 6,2805 47,0095425 46,9467375 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-07 7,43 7,42 6,3029 6,3029 46,830547 46,767518 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-08 7,498 7,488 6,2894 6,2894 47,1579212 47,0950272 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-09 7,523 7,513 6,2969 6,2969 47,3715787 47,3086097 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-12 7,555 7,545 6,3022 6,3022 47,613121 47,550099 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-13 7,57 7,56 6,2936 6,2936 47,642552 47,579616 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-14 7,61 7,6 6,2804 6,2804 47,793844 47,73104 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-15 7,658 7,648 6,2657 6,2657 47,9827306 47,9200736 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-16 7,613 7,603 6,2827 6,2827 47,8301951 47,7673681 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-19 7,698 7,688 6,263 6,263 48,212574 48,149944 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-20 7,688 7,678 6,2701 6,2701 48,2045288 48,1418278 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-21 7,663 7,653 6,2685 6,2685 48,0355155 47,9728305 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-22 7,648 7,638 6,2482 6,2482 47,7862336 47,7237516 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-23 7,733 7,723 6,2356 6,2356 48,2198948 48,1575388 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-26 7,798 7,788 6,2318 6,2318 48,5955764 48,5332584 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-27 7,825 7,815 6,2276 6,2276 48,73097 48,668694 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-28 7,81 7,8 6,2342 6,2342 48,689102 48,62676 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-29 7,785 7,775 6,2694 6,2694 48,807279 48,744585 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-09-30 7,785 7,775 6,2932 6,2932 48,992562 48,92963 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-03 7,783 7,773 6,2681 6,2681 48,7846223 48,7219413 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-04 7,82 7,81 6,2829 6,2829 49,132278 49,069449 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-05 7,795 7,785 6,2767 6,2767 48,9268765 48,8641095 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-06 7,713 7,703 6,2519 6,2519 48,2209047 48,1583857 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-07 7,683 7,673 6,255 6,255 48,057165 47,994615 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-10 7,698 7,688 6,2536 6,2536 48,1402128 48,0776768 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-11 7,77 7,76 6,2198 6,2198 48,327846 48,265648 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-12 7,805 7,795 6,2016 6,2016 48,403488 48,341472 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-13 7,83 7,82 6,1756 6,1756 48,354948 48,293192 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-14 7,833 7,823 6,1724 6,1724 48,3484092 48,2866852 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-17 7,835 7,825 6,1877 6,1877 48,4806295 48,4187525 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-18 7,893 7,883 6,181 6,181 48,786633 48,724823 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-19 7,96 7,95 6,1525 6,1525 48,9739 48,912375 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-20 7,93 7,92 6,1566 6,1566 48,821838 48,760272 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-21 7,883 7,873 6,1606 6,1606 48,5640098 48,5024038 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-24 7,995 7,985 6,157 6,157 49,225215 49,163645 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-25 7,99 7,98 6,2114 6,2114 49,629086 49,566972 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-26 7,868 7,858 6,2209 6,2209 48,9460412 48,8838322 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-27 7,868 7,858 6,2158 6,2158 48,9059144 48,8437564 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-28 7,825 7,815 6,1885 6,1885 48,4250125 48,3631275 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-10-31 7,905 7,895 6,193 6,193 48,955665 48,893735 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-02 7,98 7,97 6,2118 6,2118 49,570164 49,508046 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-03 8,01 8 6,2437 6,2437 50,012037 49,9496 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-04 8,028 8,018 6,2513 6,2513 50,1854364 50,1229234 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-07 8,135 8,125 6,2239 6,2239 50,6314265 50,5691875 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-08 8,17 8,16 6,2152 6,2152 50,778184 50,716032 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-09 8,12 8,11 6,209 6,209 50,41708 50,35499 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-10 8,173 8,163 6,2216 6,2216 50,8491368 50,7869208 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-11 8,235 8,225 6,2142 6,2142 51,173937 51,111795 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-14 8,133 8,123 6,2207 6,2207 50,5929531 50,5307461 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-15 8,185 8,175 6,201 6,201 50,755185 50,693175 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-16 8,21 8,2 6,187 6,187 50,79527 50,7334 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-17 8,258 8,248 6,2025 6,2025 51,220245 51,15822 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-18 8,223 8,213 6,2404 6,2404 51,3148092 51,2524052 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-21 8,123 8,113 6,2736 6,2736 50,9604528 50,8977168 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-22 8,15 8,14 6,2438 6,2438 50,88697 50,824532 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-23 8,048 8,038 6,2898 6,2898 50,6203104 50,5574124 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-24 8,053 8,043 6,3002 6,3002 50,7355106 50,6725086 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-25 8,078 8,068 6,2907 6,2907 50,8162746 50,7533676 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-28 8,118 8,108 6,2895 6,2895 51,058161 50,995266 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-29 8,015 8,005 6,2918 6,2918 50,428777 50,365859 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-11-30 8,088 8,078 6,279 6,279 50,784552 50,721762 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-01 8,083 8,073 6,2876 6,2876 50,8226708 50,7597948 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-02 8,103 8,093 6,2849 6,2849 50,9265447 50,8636957 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-05 8,045 8,035 6,3322 6,3322 50,942549 50,879227 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-06 7,993 7,983 6,3342 6,3342 50,6292606 50,5659186 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-07 8,015 8,005 6,3413 6,3413 50,8255195 50,7621065 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-08 7,988 7,978 6,3444 6,3444 50,6790672 50,6156232 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-12 7,953 7,943 6,3985 6,3985 50,8872705 50,8232855 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-13 7,905 7,895 6,4024 6,4024 50,610972 50,546948 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-14 7,848 7,838 6,4184 6,4184 50,3716032 50,3074192 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-15 7,858 7,848 6,4375 6,4375 50,585875 50,5215 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-16 7,903 7,893 6,4385 6,4385 50,8834655 50,8190805 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-19 7,865 7,855 6,4371 6,4371 50,6277915 50,5634205 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-20 7,848 7,838 6,4183 6,4183 50,3708184 50,3066354 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-21 7,948 7,938 6,4193 6,4193 51,0205964 50,9564034 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-22 7,98 7,97 6,4143 6,4143 51,186114 51,121971 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-23 7,955 7,945 6,4407 6,4407 51,2357685 51,1713615 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-27 8,01 8 6,4498 6,4498 51,662898 51,5984 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-28 7,915 7,905 6,4634 6,4634 51,157811 51,093177 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-29 7,938 7,928 6,4443 6,4443 51,1548534 51,0904104 999359 Aviva Fund Services S.A. Aviva Morley - Global Convertibles Fund USD 2005-12-30 7,958 7,948 6,4348 6,4348 51,2081384 51,1437904 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-04 9,0345 9,0295 7,24 7,24 65,40978 65,37358 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-05 9,0615 9,0565 7,18 7,18 65,06157 65,02567 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-07 9,0615 9,0565 7,24 7,24 65,60526 65,56906 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-10 9,08619 9,08119 7,24 7,24 65,7840156 65,7478156 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-11 9,08619 9,08119 7,19 7,19 65,3297061 65,2937561 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-12 9,0455 9,0405 7,13 7,13 64,494415 64,458765 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-13 9,0505 9,0455 7,17 7,17 64,892085 64,856235 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-14 9,0455 9,0405 7,21 7,21 65,218055 65,182005 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-17 9,0685 9,0635 7,25 7,25 65,746625 65,710375 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-18 9,0585 9,0535 7,26 7,26 65,76471 65,72841 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-19 9,0225 9,0175 7,26 7,26 65,50335 65,46705 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-20 9,0315 9,0265 7,22 7,22 65,20743 65,17133 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-21 9,0505 9,0455 7,24 7,24 65,52562 65,48942 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-24 9,0655 9,0605 7,23 7,23 65,543565 65,507415 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-25 9,0715 9,0665 7,28 7,28 66,04052 66,00412 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-26 9,0885 9,0835 7,27 7,27 66,073395 66,037045 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-27 9,0675 9,0625 7,3 7,3 66,19275 66,15625 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-28 9,0955 9,0905 7,27 7,27 66,124285 66,087935 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-01-31 9,1075 9,1025 7,34 7,34 66,84905 66,81235 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-01 9,1035 9,0985 7,4 7,4 67,3659 67,3289 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-02 9,0905 9,0855 7,42 7,42 67,45151 67,41441 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-03 9,0695 9,0645 7,42 7,42 67,29569 67,25859 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-04 9,0895 9,0845 7,49 7,49 68,080355 68,042905 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-07 9,0755 9,0705 7,52 7,52 68,24776 68,21016 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-08 9,0895 9,0845 7,52 7,52 68,35304 68,31544 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-09 9,0695 9,0645 7,51 7,51 68,111945 68,074395 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-10 9,0805 9,0755 7,51 7,51 68,194555 68,157005 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-11 9,0935 9,0885 7,6 7,6 69,1106 69,0726 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-14 9,1105 9,1055 7,59 7,59 69,148695 69,110745 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-15 9,0765 9,0715 7,63 7,63 69,253695 69,215545 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-16 9,0705 9,0655 7,58 7,58 68,75439 68,71649 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-17 9,0925 9,0875 7,6 7,6 69,103 69,065 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-18 9,0945 9,0895 7,61 7,61 69,209145 69,171095 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-21 9,1185 9,1135 7,56 7,56 68,93586 68,89806 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-22 9,0975 9,0925 7,5 7,5 68,23125 68,19375 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-23 9,1045 9,0995 7,45 7,45 67,828525 67,791275 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-24 9,0715 9,0665 7,46 7,46 67,67339 67,63609 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-25 9,0845 9,0795 7,54 7,54 68,49713 68,45943 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-02-28 9,0505 9,0455 7,54 7,54 68,24077 68,20307 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-01 9,0565 9,0515 7,59 7,59 68,738835 68,700885 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-02 9,0645 9,0595 7,58 7,58 68,70891 68,67101 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-03 9,0675 9,0625 7,58 7,58 68,73165 68,69375 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-04 9,0415 9,0365 7,65 7,65 69,167475 69,129225 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-07 9,0425 9,0375 7,66 7,66 69,26555 69,22725 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-08 9,0345 9,0295 7,63 7,63 68,933235 68,895085 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-09 9,0365 9,0315 7,6 7,6 68,6774 68,6394 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-10 9,0655 9,0605 7,53 7,53 68,263215 68,225565 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-11 9,0795 9,0745 7,54 7,54 68,45943 68,42173 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-14 9,0695 9,0645 7,54 7,54 68,38403 68,34633 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-15 9,1035 9,0985 7,58 7,58 69,00453 68,96663 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-16 9,0975 9,0925 7,47 7,47 67,958325 67,920975 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-18 9,1035 9,0985 7,51 7,51 68,367285 68,329735 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-21 9,1265 9,1215 7,5 7,5 68,44875 68,41125 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-22 9,1265 9,1215 7,52 7,52 68,63128 68,59368 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-23 9,1165 9,1115 7,48 7,48 68,19142 68,15402 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-24 9,1135 9,1085 7,54 7,54 68,71579 68,67809 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-29 9,1315 9,1265 7,55 7,55 68,942825 68,905075 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-30 9,1425 9,1375 7,52 7,52 68,7516 68,714 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-03-31 9,1405 9,1355 7,53 7,53 68,827965 68,790315 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-01 9,1645 9,1595 7,57 7,57 69,375265 69,337415 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-04 9,1695 9,1645 7,53 7,53 69,046335 69,008685 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-05 9,1745 9,1695 7,57 7,57 69,450965 69,413115 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-06 9,1705 9,1655 7,61 7,61 69,787505 69,749455 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-07 9,1505 9,1455 7,65 7,65 70,001325 69,963075 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-08 9,1625 9,1575 7,65 7,65 70,093125 70,054875 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-11 9,1705 9,1655 7,63 7,63 69,970915 69,932765 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-12 9,1525 9,1475 7,6 7,6 69,559 69,521 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-13 9,1495 9,1445 7,63 7,63 69,810685 69,772535 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-14 9,1685 9,1635 7,6 7,6 69,6806 69,6426 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-15 9,1925 9,1875 7,45 7,45 68,484125 68,446875 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-18 9,1805 9,1755 7,29 7,29 66,925845 66,889395 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-19 9,2035 9,1985 7,31 7,31 67,277585 67,241035 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-20 9,1915 9,1865 7,29 7,29 67,006035 66,969585 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-21 9,1855 9,1805 7,28 7,28 66,87044 66,83404 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-22 9,1625 9,1575 7,34 7,34 67,25275 67,21605 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-25 9,1685 9,1635 7,36 7,36 67,48016 67,44336 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-26 9,1375 9,1325 7,35 7,35 67,160625 67,123875 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-27 9,1465 9,1415 7,24 7,24 66,22066 66,18446 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-28 9,1505 9,1455 7,23 7,23 66,158115 66,121965 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-04-29 9,1705 9,1655 7,24 7,24 66,39442 66,35822 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-03 9,2245 9,2195 7,33 7,33 67,615585 67,578935 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-04 9,1915 9,1865 7,41 7,41 68,109015 68,071965 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-06 9,1715 9,1665 7,43 7,43 68,144245 68,107095 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-09 9,1815 9,1765 7,41 7,41 68,034915 67,997865 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-10 9,1985 9,1935 7,36 7,36 67,70096 67,66416 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-11 9,2105 9,2055 7,34 7,34 67,60507 67,56837 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-12 9,2315 9,2265 7,39 7,39 68,220785 68,183835 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-13 9,2045 9,1995 7,39 7,39 68,021255 67,984305 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-16 9,2145 9,2095 7,37 7,37 67,910865 67,874015 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-17 9,2325 9,2275 7,36 7,36 67,9512 67,9144 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-18 9,2095 9,2045 7,49 7,49 68,979155 68,941705 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-19 9,1905 9,1855 7,53 7,53 69,204465 69,166815 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-20 9,1955 9,1905 7,53 7,53 69,242115 69,204465 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-23 9,1805 9,1755 7,58 7,58 69,58819 69,55029 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-24 9,1815 9,1765 7,57 7,57 69,503955 69,466105 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-25 9,1785 9,1735 7,58 7,58 69,57303 69,53513 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-26 9,1945 9,1895 7,63 7,63 70,154035 70,115885 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-27 9,1955 9,1905 7,63 7,63 70,161665 70,123515 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-30 9,1905 9,1855 7,67 7,67 70,491135 70,452785 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-05-31 9,1665 9,1615 7,64 7,64 70,03206 69,99386 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-01 9,1455 9,1405 7,75 7,75 70,877625 70,838875 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-02 9,1565 9,1515 7,76 7,76 71,05444 71,01564 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-03 9,1315 9,1265 7,73 7,73 70,586495 70,547845 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-07 9,1455 9,1405 7,77 7,77 71,060535 71,021685 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-08 9,1455 9,1405 7,75 7,75 70,877625 70,838875 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-09 9,1965 9,1915 7,76 7,76 71,36484 71,32604 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-10 9,1975 9,1925 7,82 7,82 71,92445 71,88535 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-13 9,2365 9,2315 7,85 7,85 72,506525 72,467275 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-14 9,2985 9,2935 7,86 7,86 73,08621 73,04691 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-15 9,2695 9,2645 7,82 7,82 72,48749 72,44839 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-16 9,2695 9,2645 7,86 7,86 72,85827 72,81897 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-17 9,2695 9,2645 7,91 7,91 73,321745 73,282195 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-20 9,2255 9,2205 7,87 7,87 72,604685 72,565335 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-21 9,2725 9,2675 7,91 7,91 73,345475 73,305925 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-22 9,2615 9,2565 7,92 7,92 73,35108 73,31148 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-23 9,3535 9,3485 7,94 7,94 74,26679 74,22709 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-27 9,3855 9,3805 7,81 7,81 73,300755 73,261705 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-28 9,3995 9,3945 7,88 7,88 74,06806 74,02866 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-29 9,4215 9,4165 7,93 7,93 74,712495 74,672845 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-06-30 9,4415 9,4365 7,95 7,95 75,059925 75,020175 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-01 9,4595 9,4545 8,02 8,02 75,86519 75,82509 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-04 9,4795 9,4745 8,03 8,03 76,120385 76,080235 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-05 9,4575 9,4525 8,01 8,01 75,754575 75,714525 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-06 9,4195 9,4145 8,05 8,05 75,826975 75,786725 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-07 9,3965 9,3915 7,92 7,92 74,42028 74,38068 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-08 9,4175 9,4125 8,06 8,06 75,90505 75,86475 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-11 9,4665 9,4615 8,11 8,11 76,773315 76,732765 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-12 9,4645 9,4595 8,09 8,09 76,567805 76,527355 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-13 9,3915 9,3865 8,15 8,15 76,540725 76,499975 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-14 9,3675 9,3625 8,19 8,19 76,719825 76,678875 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-15 9,4055 9,4005 8,18 8,18 76,93699 76,89609 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-18 9,3895 9,3845 8,18 8,18 76,80611 76,76521 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-19 9,4425 9,4375 8,27 8,27 78,089475 78,048125 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-20 9,4265 9,4215 8,25 8,25 77,768625 77,727375 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-21 9,4625 9,4575 8,27 8,27 78,254875 78,213525 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-22 9,4495 9,4445 8,27 8,27 78,147365 78,106015 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-25 9,4275 9,4225 8,29 8,29 78,153975 78,112525 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-26 9,4155 9,4105 8,29 8,29 78,054495 78,013045 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-27 9,4725 9,4675 8,33 8,33 78,905925 78,864275 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-28 9,4515 9,4465 8,39 8,39 79,298085 79,256135 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-07-29 9,3885 9,3835 8,39 8,39 78,769515 78,727565 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-02 9,3995 9,3945 8,46 8,46 79,51977 79,47747 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-03 9,3755 9,3705 8,47 8,47 79,410485 79,368135 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-04 9,3735 9,3685 8,4 8,4 78,7374 78,6954 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-05 9,3355 9,3305 8,33 8,33 77,764715 77,723065 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-08 9,3335 9,3285 8,37 8,37 78,121395 78,079545 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-09 9,3455 9,3405 8,45 8,45 78,969475 78,927225 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-10 9,3535 9,3485 8,53 8,53 79,785355 79,742705 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-11 9,3365 9,3315 8,49 8,49 79,266885 79,224435 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-12 9,3025 9,2975 8,45 8,45 78,606125 78,563875 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-15 9,3065 9,3015 8,44 8,44 78,54686 78,50466 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-16 9,2995 9,2945 8,4 8,4 78,1158 78,0738 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-17 9,3405 9,3355 8,38 8,38 78,27339 78,23149 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-18 9,3365 9,3315 8,33 8,33 77,773045 77,731395 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-19 9,3395 9,3345 8,43 8,43 78,731985 78,689835 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-22 9,3655 9,3605 8,45 8,45 79,138475 79,096225 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-23 9,3715 9,3665 8,39 8,39 78,626885 78,584935 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-24 9,3365 9,3315 8,38 8,38 78,23987 78,19797 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-25 9,3335 9,3285 8,3 8,3 77,46805 77,42655 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-26 9,3415 9,3365 8,23 8,23 76,880545 76,839395 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-29 9,3295 9,3245 8,26 8,26 77,06167 77,02037 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-30 9,3285 9,3235 8,25 8,25 76,960125 76,918875 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-08-31 9,3585 9,3535 8,33 8,33 77,956305 77,914655 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-01 9,3365 9,3315 8,38 8,38 78,23987 78,19797 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-02 9,3025 9,2975 8,37 8,37 77,861925 77,820075 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-05 9,2845 9,2795 8,44 8,44 78,36118 78,31898 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-06 9,3225 9,3175 8,53 8,53 79,520925 79,478275 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-07 9,3075 9,3025 8,56 8,56 79,6722 79,6294 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-08 9,3255 9,3205 8,56 8,56 79,82628 79,78348 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-09 9,3445 9,3395 8,59 8,59 80,269255 80,226305 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-12 9,3015 9,2965 8,59 8,59 79,899885 79,856935 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-13 9,3015 9,2965 8,51 8,51 79,155765 79,113215 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-14 9,3365 9,3315 8,54 8,54 79,73371 79,69101 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-15 9,3425 9,3375 8,56 8,56 79,9718 79,929 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-16 9,3465 9,3415 8,63 8,63 80,660295 80,617145 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-19 9,3355 9,3305 8,61 8,61 80,378655 80,335605 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-20 9,3395 9,3345 8,65 8,65 80,786675 80,743425 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-21 9,3405 9,3355 8,56 8,56 79,95468 79,91188 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-22 9,3405 9,3355 8,52 8,52 79,58106 79,53846 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-23 9,3695 9,3645 8,57 8,57 80,296615 80,253765 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-26 9,3815 9,3765 8,72 8,72 81,80668 81,76308 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-27 9,3885 9,3835 8,7 8,7 81,67995 81,63645 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-28 9,3935 9,3885 8,81 8,81 82,756735 82,712685 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-29 9,3845 9,3795 8,78 8,78 82,39591 82,35201 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-09-30 9,3435 9,3385 8,82 8,82 82,40967 82,36557 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-03 9,3025 9,2975 8,88 8,88 82,6062 82,5618 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-04 9,3185 9,3135 8,92 8,92 83,12102 83,07642 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-05 9,3105 9,3055 8,8 8,8 81,9324 81,8884 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-06 9,3015 9,2965 8,69 8,69 80,830035 80,786585 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-07 9,3385 9,3335 8,67 8,67 80,964795 80,921445 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-10 9,3465 9,3415 8,7 8,7 81,31455 81,27105 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-11 9,3395 9,3345 8,71 8,71 81,347045 81,303495 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-12 9,3375 9,3325 8,64 8,64 80,676 80,6328 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-13 9,3815 9,3765 8,54 8,54 80,11801 80,07531 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-14 9,4135 9,4085 8,56 8,56 80,57956 80,53676 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-17 9,4575 9,4525 8,58 8,58 81,14535 81,10245 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-18 9,4625 9,4575 8,52 8,52 80,6205 80,5779 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-19 9,4605 9,4555 8,36 8,36 79,08978 79,04798 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-20 9,4935 9,4885 8,37 8,37 79,460595 79,418745 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-21 9,4915 9,4865 8,33 8,33 79,064195 79,022545 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-24 9,5455 9,5405 8,44 8,44 80,56402 80,52182 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-25 9,5465 9,5415 8,4 8,4 80,1906 80,1486 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-26 9,4975 9,4925 8,43 8,43 80,063925 80,021775 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-27 9,5355 9,5305 8,29 8,29 79,049295 79,007845 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-10-28 9,5135 9,5085 8,3 8,3 78,96205 78,92055 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-01 9,5495 9,5445 8,48 8,48 80,97976 80,93736 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-02 9,5855 9,5805 8,51 8,51 81,572605 81,530055 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-03 9,6515 9,6465 8,61 8,61 83,099415 83,056365 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-04 9,5875 9,5825 8,59 8,59 82,356625 82,313675 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-07 9,6075 9,6025 8,61 8,61 82,720575 82,677525 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-08 9,5685 9,5635 8,6 8,6 82,2891 82,2461 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-09 9,5575 9,5525 8,61 8,61 82,290075 82,247025 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-10 9,6105 9,6055 8,59 8,59 82,554195 82,511245 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-11 9,6365 9,6315 8,69 8,69 83,741185 83,697735 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-14 9,5505 9,5455 8,72 8,72 83,28036 83,23676 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-15 9,5805 9,5755 8,71 8,71 83,446155 83,402605 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-16 9,6235 9,6185 8,67 8,67 83,435745 83,392395 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-17 9,6355 9,6305 8,72 8,72 84,02156 83,97796 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-18 9,6085 9,6035 8,76 8,76 84,17046 84,12666 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-21 9,5915 9,5865 8,81 8,81 84,501115 84,457065 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-22 9,5585 9,5535 8,83 8,83 84,401555 84,357405 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-23 9,5155 9,5105 8,88 8,88 84,49764 84,45324 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-11-24 9,5125 9,5075 8,86 8,86 84,28075 84,23645 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha 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Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-06 9,4185 9,4135 9,03 9,03 85,049055 85,003905 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-07 9,4255 9,4205 9 9 84,8295 84,7845 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-08 9,3965 9,3915 9,01 9,01 84,662465 84,617415 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-12 9,4315 9,4265 9,02 9,02 85,07213 85,02703 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-13 9,4295 9,4245 9,03 9,03 85,148385 85,103235 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-14 9,4365 9,4315 9,02 9,02 85,11723 85,07213 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-15 9,4345 9,4295 9,02 9,02 85,09919 85,05409 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-16 9,4765 9,4715 9,09 9,09 86,141385 86,095935 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-19 9,4535 9,4485 9,07 9,07 85,743245 85,697895 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-20 9,4015 9,3965 9,09 9,09 85,459635 85,414185 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-21 9,4485 9,4435 9,18 9,18 86,73723 86,69133 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-22 9,4365 9,4315 9,17 9,17 86,532705 86,486855 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-23 9,4425 9,4375 9,2 9,2 86,871 86,825 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-29 9,4115 9,4065 9,23 9,23 86,868145 86,821995 151001 AXA Rosenberg Management Ireland Limited AXA Rosenberg Eurobloc Equity Alpha Fund EUR 2005-12-30 9,4325 9,4275 9,16 9,16 86,4017 86,3559 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-04 9,0345 9,0295 7,46 7,46 67,39737 67,36007 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-05 9,0615 9,0565 7,41 7,41 67,145715 67,108665 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-07 9,0615 9,0565 7,47 7,47 67,689405 67,652055 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-10 9,08619 9,08119 7,47 7,47 67,8738393 67,8364893 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-11 9,08619 9,08119 7,41 7,41 67,3286679 67,2916179 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 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Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-21 9,0505 9,0455 7,45 7,45 67,426225 67,388975 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-24 9,0655 9,0605 7,44 7,44 67,44732 67,41012 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-25 9,0715 9,0665 7,48 7,48 67,85482 67,81742 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-26 9,0885 9,0835 7,48 7,48 67,98198 67,94458 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-27 9,0675 9,0625 7,49 7,49 67,915575 67,878125 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-28 9,0955 9,0905 7,46 7,46 67,85243 67,81513 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-01-31 9,1075 9,1025 7,53 7,53 68,579475 68,541825 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-02-01 9,1035 9,0985 7,58 7,58 69,00453 68,96663 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-02-02 9,0905 9,0855 7,6 7,6 69,0878 69,0498 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-02-03 9,0695 9,0645 7,6 7,6 68,9282 68,8902 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-02-04 9,0895 9,0845 7,66 7,66 69,62557 69,58727 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-02-07 9,0755 9,0705 7,7 7,7 69,88135 69,84285 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-02-08 9,0895 9,0845 7,7 7,7 69,98915 69,95065 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund 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7,78 70,41289 70,37399 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-03-01 9,0565 9,0515 7,83 7,83 70,912395 70,873245 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-03-02 9,0645 9,0595 7,84 7,84 71,06568 71,02648 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-03-03 9,0675 9,0625 7,83 7,83 70,998525 70,959375 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-03-04 9,0415 9,0365 7,9 7,9 71,42785 71,38835 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-03-07 9,0425 9,0375 7,91 7,91 71,526175 71,486625 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-03-08 9,0345 9,0295 7,87 7,87 71,101515 71,062165 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe 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Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-11 9,2105 9,2055 7,61 7,61 70,091905 70,053855 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-12 9,2315 9,2265 7,65 7,65 70,620975 70,582725 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-13 9,2045 9,1995 7,65 7,65 70,414425 70,376175 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-16 9,2145 9,2095 7,63 7,63 70,306635 70,268485 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-17 9,2325 9,2275 7,62 7,62 70,35165 70,31355 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-18 9,2095 9,2045 7,74 7,74 71,28153 71,24283 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-19 9,1905 9,1855 7,77 7,77 71,410185 71,371335 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-20 9,1955 9,1905 7,78 7,78 71,54099 71,50209 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-23 9,1805 9,1755 7,82 7,82 71,79151 71,75241 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-24 9,1815 9,1765 7,82 7,82 71,79933 71,76023 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-25 9,1785 9,1735 7,83 7,83 71,867655 71,828505 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-26 9,1945 9,1895 7,88 7,88 72,45266 72,41326 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-27 9,1955 9,1905 7,9 7,9 72,64445 72,60495 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-30 9,1905 9,1855 7,93 7,93 72,880665 72,841015 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-05-31 9,1665 9,1615 7,91 7,91 72,507015 72,467465 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-01 9,1455 9,1405 8,01 8,01 73,255455 73,215405 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-02 9,1565 9,1515 8,02 8,02 73,43513 73,39503 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-03 9,1315 9,1265 8 8 73,052 73,012 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-07 9,1455 9,1405 8,04 8,04 73,52982 73,48962 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-08 9,1455 9,1405 8,02 8,02 73,34691 73,30681 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-09 9,1965 9,1915 8,02 8,02 73,75593 73,71583 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-10 9,1975 9,1925 8,07 8,07 74,223825 74,183475 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-13 9,2365 9,2315 8,11 8,11 74,908015 74,867465 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-14 9,2985 9,2935 8,12 8,12 75,50382 75,46322 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-15 9,2695 9,2645 8,09 8,09 74,990255 74,949805 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-16 9,2695 9,2645 8,14 8,14 75,45373 75,41303 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-17 9,2695 9,2645 8,18 8,18 75,82451 75,78361 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-20 9,2255 9,2205 8,15 8,15 75,187825 75,147075 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-21 9,2725 9,2675 8,19 8,19 75,941775 75,900825 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-22 9,2615 9,2565 8,19 8,19 75,851685 75,810735 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-23 9,3535 9,3485 8,21 8,21 76,792235 76,751185 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-27 9,3855 9,3805 8,08 8,08 75,83484 75,79444 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-28 9,3995 9,3945 8,14 8,14 76,51193 76,47123 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-29 9,4215 9,4165 8,19 8,19 77,162085 77,121135 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-06-30 9,4415 9,4365 8,2 8,2 77,4203 77,3793 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-01 9,4595 9,4545 8,27 8,27 78,230065 78,188715 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-04 9,4795 9,4745 8,29 8,29 78,585055 78,543605 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-05 9,4575 9,4525 8,28 8,28 78,3081 78,2667 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-06 9,4195 9,4145 8,31 8,31 78,276045 78,234495 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-07 9,3965 9,3915 8,19 8,19 76,957335 76,916385 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-08 9,4175 9,4125 8,32 8,32 78,3536 78,312 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-11 9,4665 9,4615 8,37 8,37 79,234605 79,192755 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-12 9,4645 9,4595 8,35 8,35 79,028575 78,986825 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-13 9,3915 9,3865 8,42 8,42 79,07643 79,03433 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-14 9,3675 9,3625 8,45 8,45 79,155375 79,113125 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-15 9,4055 9,4005 8,44 8,44 79,38242 79,34022 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-18 9,3895 9,3845 8,44 8,44 79,24738 79,20518 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-19 9,4425 9,4375 8,5 8,5 80,26125 80,21875 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-20 9,4265 9,4215 8,49 8,49 80,030985 79,988535 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-21 9,4625 9,4575 8,51 8,51 80,525875 80,483325 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-22 9,4495 9,4445 8,51 8,51 80,415245 80,372695 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-25 9,4275 9,4225 8,54 8,54 80,51085 80,46815 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-26 9,4155 9,4105 8,56 8,56 80,59668 80,55388 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-27 9,4725 9,4675 8,6 8,6 81,4635 81,4205 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-28 9,4515 9,4465 8,67 8,67 81,944505 81,901155 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-07-29 9,3885 9,3835 8,66 8,66 81,30441 81,26111 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-02 9,3995 9,3945 8,74 8,74 82,15163 82,10793 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-03 9,3755 9,3705 8,75 8,75 82,035625 81,991875 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-04 9,3735 9,3685 8,68 8,68 81,36198 81,31858 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-05 9,3355 9,3305 8,62 8,62 80,47201 80,42891 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-08 9,3335 9,3285 8,67 8,67 80,921445 80,878095 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-09 9,3455 9,3405 8,74 8,74 81,67967 81,63597 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-10 9,3535 9,3485 8,81 8,81 82,404335 82,360285 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-11 9,3365 9,3315 8,77 8,77 81,881105 81,837255 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-12 9,3025 9,2975 8,74 8,74 81,30385 81,26015 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-15 9,3065 9,3015 8,73 8,73 81,245745 81,202095 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-16 9,2995 9,2945 8,7 8,7 80,90565 80,86215 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-17 9,3405 9,3355 8,68 8,68 81,07554 81,03214 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-18 9,3365 9,3315 8,64 8,64 80,66736 80,62416 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-19 9,3395 9,3345 8,73 8,73 81,533835 81,490185 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-22 9,3655 9,3605 8,74 8,74 81,85447 81,81077 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-23 9,3715 9,3665 8,67 8,67 81,250905 81,207555 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-24 9,3365 9,3315 8,65 8,65 80,760725 80,717475 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-25 9,3335 9,3285 8,58 8,58 80,08143 80,03853 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-26 9,3415 9,3365 8,52 8,52 79,58958 79,54698 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-29 9,3295 9,3245 8,55 8,55 79,767225 79,724475 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-30 9,3285 9,3235 8,54 8,54 79,66539 79,62269 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-08-31 9,3585 9,3535 8,63 8,63 80,763855 80,720705 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-01 9,3365 9,3315 8,68 8,68 81,04082 80,99742 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-02 9,3025 9,2975 8,68 8,68 80,7457 80,7023 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-05 9,2845 9,2795 8,73 8,73 81,053685 81,010035 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-06 9,3225 9,3175 8,82 8,82 82,22445 82,18035 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-07 9,3075 9,3025 8,85 8,85 82,371375 82,327125 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-08 9,3255 9,3205 8,84 8,84 82,43742 82,39322 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-09 9,3445 9,3395 8,88 8,88 82,97916 82,93476 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-12 9,3015 9,2965 8,9 8,9 82,78335 82,73885 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-13 9,3015 9,2965 8,83 8,83 82,132245 82,088095 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-14 9,3365 9,3315 8,87 8,87 82,814755 82,770405 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-15 9,3425 9,3375 8,89 8,89 83,054825 83,010375 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-16 9,3465 9,3415 8,95 8,95 83,651175 83,606425 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-19 9,3355 9,3305 8,93 8,93 83,366015 83,321365 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-20 9,3395 9,3345 8,97 8,97 83,775315 83,730465 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-21 9,3405 9,3355 8,88 8,88 82,94364 82,89924 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-22 9,3405 9,3355 8,85 8,85 82,663425 82,619175 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-23 9,3695 9,3645 8,9 8,9 83,38855 83,34405 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-26 9,3815 9,3765 9,02 9,02 84,62113 84,57603 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-27 9,3885 9,3835 9 9 84,4965 84,4515 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-28 9,3935 9,3885 9,11 9,11 85,574785 85,529235 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-29 9,3845 9,3795 9,08 9,08 85,21126 85,16586 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-09-30 9,3435 9,3385 9,13 9,13 85,306155 85,260505 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-03 9,3025 9,2975 9,21 9,21 85,676025 85,629975 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-04 9,3185 9,3135 9,24 9,24 86,10294 86,05674 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-05 9,3105 9,3055 9,14 9,14 85,09797 85,05227 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-06 9,3015 9,2965 9,03 9,03 83,992545 83,947395 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-07 9,3385 9,3335 9,01 9,01 84,139885 84,094835 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-10 9,3465 9,3415 9,04 9,04 84,49236 84,44716 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-11 9,3395 9,3345 9,06 9,06 84,61587 84,57057 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-12 9,3375 9,3325 9 9 84,0375 83,9925 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-13 9,3815 9,3765 8,88 8,88 83,30772 83,26332 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-14 9,4135 9,4085 8,91 8,91 83,874285 83,829735 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-17 9,4575 9,4525 8,91 8,91 84,266325 84,221775 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-18 9,4625 9,4575 8,87 8,87 83,932375 83,888025 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-19 9,4605 9,4555 8,7 8,7 82,30635 82,26285 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-20 9,4935 9,4885 8,73 8,73 82,878255 82,834605 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-21 9,4915 9,4865 8,69 8,69 82,481135 82,437685 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-24 9,5455 9,5405 8,79 8,79 83,904945 83,860995 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-25 9,5465 9,5415 8,77 8,77 83,722805 83,678955 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-26 9,4975 9,4925 8,8 8,8 83,578 83,534 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-27 9,5355 9,5305 8,68 8,68 82,76814 82,72474 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-10-28 9,5135 9,5085 8,67 8,67 82,482045 82,438695 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-01 9,5495 9,5445 8,9 8,9 84,99055 84,94605 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-02 9,5855 9,5805 8,93 8,93 85,598515 85,553865 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-03 9,6515 9,6465 9,04 9,04 87,24956 87,20436 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-04 9,5875 9,5825 9,01 9,01 86,383375 86,338325 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-07 9,6075 9,6025 9,04 9,04 86,8518 86,8066 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-08 9,5685 9,5635 9,03 9,03 86,403555 86,358405 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-09 9,5575 9,5525 9,04 9,04 86,3998 86,3546 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-10 9,6105 9,6055 9,04 9,04 86,87892 86,83372 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-11 9,6365 9,6315 9,14 9,14 88,07761 88,03191 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-14 9,5505 9,5455 9,16 9,16 87,48258 87,43678 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-15 9,5805 9,5755 9,14 9,14 87,56577 87,52007 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-16 9,6235 9,6185 9,09 9,09 87,477615 87,432165 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-17 9,6355 9,6305 9,16 9,16 88,26118 88,21538 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-18 9,6085 9,6035 9,23 9,23 88,686455 88,640305 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-21 9,5915 9,5865 9,27 9,27 88,913205 88,866855 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-22 9,5585 9,5535 9,29 9,29 88,798465 88,752015 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-23 9,5155 9,5105 9,33 9,33 88,779615 88,732965 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-24 9,5125 9,5075 9,31 9,31 88,561375 88,514825 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-25 9,4965 9,4915 9,34 9,34 88,69731 88,65061 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-28 9,4835 9,4785 9,31 9,31 88,291385 88,244835 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-29 9,4785 9,4735 9,32 9,32 88,33962 88,29302 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-11-30 9,5295 9,5245 9,28 9,28 88,43376 88,38736 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-01 9,5165 9,5115 9,43 9,43 89,740595 89,693445 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-02 9,4905 9,4855 9,5 9,5 90,15975 90,11225 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-05 9,4065 9,4015 9,48 9,48 89,17362 89,12622 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-06 9,4185 9,4135 9,53 9,53 89,758305 89,710655 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-07 9,4255 9,4205 9,51 9,51 89,636505 89,588955 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-08 9,3965 9,3915 9,5 9,5 89,26675 89,21925 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-12 9,4315 9,4265 9,5 9,5 89,59925 89,55175 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-13 9,4295 9,4245 9,52 9,52 89,76884 89,72124 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-14 9,4365 9,4315 9,5 9,5 89,64675 89,59925 222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-15 9,4345 9,4295 9,48 9,48 89,43906 89,39166 222661 AXA Rosenberg Management Ireland Limited AXA 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222661 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Equity Alpha Fund EUR 2005-12-30 9,4325 9,4275 9,63 9,63 90,834975 90,786825 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-01-04 9,0345 9,0295 10,79 10,79 97,482255 97,428305 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-01-05 9,0615 9,0565 10,73 10,73 97,229895 97,176245 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-01-07 9,0615 9,0565 10,82 10,82 98,04543 97,99133 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-01-10 9,08619 9,08119 10,81 10,81 98,2217139 98,1676639 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-01-11 9,08619 9,08119 10,78 10,78 97,9491282 97,8952282 258491 AXA Rosenberg Management Ireland Limited AXA 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Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-08 9,0895 9,0845 11,52 11,52 104,71104 104,65344 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-09 9,0695 9,0645 11,55 11,55 104,752725 104,694975 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-10 9,0805 9,0755 11,52 11,52 104,60736 104,54976 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-11 9,0935 9,0885 11,63 11,63 105,757405 105,699255 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-14 9,1105 9,1055 11,64 11,64 106,04622 105,98802 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-15 9,0765 9,0715 11,71 11,71 106,285815 106,227265 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-16 9,0705 9,0655 11,71 11,71 106,215555 106,157005 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-17 9,0925 9,0875 11,78 11,78 107,10965 107,05075 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-18 9,0945 9,0895 11,81 11,81 107,406045 107,346995 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-21 9,1185 9,1135 11,77 11,77 107,324745 107,265895 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-22 9,0975 9,0925 11,67 11,67 106,167825 106,109475 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-23 9,1045 9,0995 11,61 11,61 105,703245 105,645195 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-24 9,0715 9,0665 11,67 11,67 105,864405 105,806055 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-25 9,0845 9,0795 11,76 11,76 106,83372 106,77492 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-02-28 9,0505 9,0455 11,81 11,81 106,886405 106,827355 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-01 9,0565 9,0515 11,88 11,88 107,59122 107,53182 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-02 9,0645 9,0595 11,85 11,85 107,414325 107,355075 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-03 9,0675 9,0625 11,87 11,87 107,631225 107,571875 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-04 9,0415 9,0365 11,94 11,94 107,95551 107,89581 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-07 9,0425 9,0375 11,95 11,95 108,057875 107,998125 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-08 9,0345 9,0295 11,92 11,92 107,69124 107,63164 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-09 9,0365 9,0315 11,9 11,9 107,53435 107,47485 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-10 9,0655 9,0605 11,82 11,82 107,15421 107,09511 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-11 9,0795 9,0745 11,86 11,86 107,68287 107,62357 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-14 9,0695 9,0645 11,83 11,83 107,292185 107,233035 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 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258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-29 9,1315 9,1265 11,7 11,7 106,83855 106,78005 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-30 9,1425 9,1375 11,71 11,71 107,058675 107,000125 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-03-31 9,1405 9,1355 11,79 11,79 107,766495 107,707545 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-01 9,1645 9,1595 11,87 11,87 108,782615 108,723265 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-04 9,1695 9,1645 11,84 11,84 108,56688 108,50768 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-05 9,1745 9,1695 11,88 11,88 108,99306 108,93366 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-06 9,1705 9,1655 11,97 11,97 109,770885 109,711035 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-07 9,1505 9,1455 12,02 12,02 109,98901 109,92891 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-08 9,1625 9,1575 12,06 12,06 110,49975 110,43945 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-11 9,1705 9,1655 12,08 12,08 110,77964 110,71924 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-12 9,1525 9,1475 12,08 12,08 110,5622 110,5018 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-13 9,1495 9,1445 12,15 12,15 111,166425 111,105675 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-14 9,1685 9,1635 12,07 12,07 110,663795 110,603445 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-15 9,1925 9,1875 11,87 11,87 109,114975 109,055625 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-18 9,1805 9,1755 11,61 11,61 106,585605 106,527555 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-19 9,2035 9,1985 11,67 11,67 107,404845 107,346495 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-20 9,1915 9,1865 11,67 11,67 107,264805 107,206455 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-21 9,1855 9,1805 11,66 11,66 107,10293 107,04463 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-22 9,1625 9,1575 11,71 11,71 107,292875 107,234325 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-25 9,1685 9,1635 11,74 11,74 107,63819 107,57949 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-26 9,1375 9,1325 11,7 11,7 106,90875 106,85025 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-27 9,1465 9,1415 11,5 11,5 105,18475 105,12725 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-28 9,1505 9,1455 11,43 11,43 104,590215 104,533065 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-04-29 9,1705 9,1655 11,47 11,47 105,185635 105,128285 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-03 9,2245 9,2195 11,56 11,56 106,63522 106,57742 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-04 9,1915 9,1865 11,6 11,6 106,6214 106,5634 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-06 9,1715 9,1665 11,67 11,67 107,031405 106,973055 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-09 9,1815 9,1765 11,67 11,67 107,148105 107,089755 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-10 9,1985 9,1935 11,65 11,65 107,162525 107,104275 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-11 9,2105 9,2055 11,66 11,66 107,39443 107,33613 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-12 9,2315 9,2265 11,71 11,71 108,100865 108,042315 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-13 9,2045 9,1995 11,7 11,7 107,69265 107,63415 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-16 9,2145 9,2095 11,69 11,69 107,717505 107,659055 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-17 9,2325 9,2275 11,67 11,67 107,743275 107,684925 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-18 9,2095 9,2045 11,79 11,79 108,580005 108,521055 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-19 9,1905 9,1855 11,86 11,86 108,99933 108,94003 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-20 9,1955 9,1905 11,88 11,88 109,24254 109,18314 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-23 9,1805 9,1755 11,91 11,91 109,339755 109,280205 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-24 9,1815 9,1765 11,93 11,93 109,535295 109,475645 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-25 9,1785 9,1735 11,97 11,97 109,866645 109,806795 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-26 9,1945 9,1895 12,03 12,03 110,609835 110,549685 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-27 9,1955 9,1905 12,05 12,05 110,805775 110,745525 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-30 9,1905 9,1855 12,09 12,09 111,113145 111,052695 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-05-31 9,1665 9,1615 12,12 12,12 111,09798 111,03738 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-01 9,1455 9,1405 12,23 12,23 111,849465 111,788315 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-02 9,1565 9,1515 12,25 12,25 112,167125 112,105875 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-03 9,1315 9,1265 12,24 12,24 111,76956 111,70836 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-07 9,1455 9,1405 12,34 12,34 112,85547 112,79377 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-08 9,1455 9,1405 12,33 12,33 112,764015 112,702365 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-09 9,1965 9,1915 12,37 12,37 113,760705 113,698855 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-10 9,1975 9,1925 12,44 12,44 114,4169 114,3547 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-13 9,2365 9,2315 12,56 12,56 116,01044 115,94764 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-14 9,2985 9,2935 12,59 12,59 117,068115 117,005165 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-15 9,2695 9,2645 12,58 12,58 116,61031 116,54741 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-16 9,2695 9,2645 12,65 12,65 117,259175 117,195925 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-17 9,2695 9,2645 12,69 12,69 117,629955 117,566505 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-20 9,2255 9,2205 12,66 12,66 116,79483 116,73153 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-21 9,2725 9,2675 12,71 12,71 117,853475 117,789925 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-22 9,2615 9,2565 12,71 12,71 117,713665 117,650115 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-23 9,3535 9,3485 12,74 12,74 119,16359 119,09989 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-27 9,3855 9,3805 12,57 12,57 117,975735 117,912885 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-28 9,3995 9,3945 12,64 12,64 118,80968 118,74648 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-29 9,4215 9,4165 12,68 12,68 119,46462 119,40122 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-06-30 9,4415 9,4365 12,68 12,68 119,71822 119,65482 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-01 9,4595 9,4545 12,78 12,78 120,89241 120,82851 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-04 9,4795 9,4745 12,83 12,83 121,621985 121,557835 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-05 9,4575 9,4525 12,87 12,87 121,718025 121,653675 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-06 9,4195 9,4145 12,92 12,92 121,69994 121,63534 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-07 9,3965 9,3915 12,78 12,78 120,08727 120,02337 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-08 9,4175 9,4125 12,92 12,92 121,6741 121,6095 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-11 9,4665 9,4615 13,01 13,01 123,159165 123,094115 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-12 9,4645 9,4595 13,03 13,03 123,322435 123,257285 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-13 9,3915 9,3865 13,1 13,1 123,02865 122,96315 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-14 9,3675 9,3625 13,14 13,14 123,08895 123,02325 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-15 9,4055 9,4005 13,12 13,12 123,40016 123,33456 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-18 9,3895 9,3845 13,11 13,11 123,096345 123,030795 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-19 9,4425 9,4375 13,19 13,19 124,546575 124,480625 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-20 9,4265 9,4215 13,2 13,2 124,4298 124,3638 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-21 9,4625 9,4575 13,25 13,25 125,378125 125,311875 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-22 9,4495 9,4445 13,28 13,28 125,48936 125,42296 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-25 9,4275 9,4225 13,28 13,28 125,1972 125,1308 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-26 9,4155 9,4105 13,3 13,3 125,22615 125,15965 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-27 9,4725 9,4675 13,38 13,38 126,74205 126,67515 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-28 9,4515 9,4465 13,43 13,43 126,933645 126,866495 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-07-29 9,3885 9,3835 13,44 13,44 126,18144 126,11424 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-02 9,3995 9,3945 13,57 13,57 127,551215 127,483365 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-03 9,3755 9,3705 13,61 13,61 127,600555 127,532505 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-04 9,3735 9,3685 13,57 13,57 127,198395 127,130545 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-05 9,3355 9,3305 13,5 13,5 126,02925 125,96175 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-08 9,3335 9,3285 13,56 13,56 126,56226 126,49446 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-09 9,3455 9,3405 13,64 13,64 127,47262 127,40442 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-10 9,3535 9,3485 13,68 13,68 127,95588 127,88748 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-11 9,3365 9,3315 13,63 13,63 127,256495 127,188345 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-12 9,3025 9,2975 13,59 13,59 126,420975 126,353025 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-15 9,3065 9,3015 13,59 13,59 126,475335 126,407385 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-16 9,2995 9,2945 13,61 13,61 126,566195 126,498145 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-17 9,3405 9,3355 13,56 13,56 126,65718 126,58938 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-18 9,3365 9,3315 13,52 13,52 126,22948 126,16188 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-19 9,3395 9,3345 13,58 13,58 126,83041 126,76251 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-22 9,3655 9,3605 13,64 13,64 127,74542 127,67722 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-23 9,3715 9,3665 13,62 13,62 127,63983 127,57173 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-24 9,3365 9,3315 13,58 13,58 126,78967 126,72177 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-25 9,3335 9,3285 13,51 13,51 126,095585 126,028035 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-26 9,3415 9,3365 13,49 13,49 126,016835 125,949385 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-29 9,3295 9,3245 13,45 13,45 125,481775 125,414525 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-30 9,3285 9,3235 13,51 13,51 126,028035 125,960485 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-08-31 9,3585 9,3535 13,61 13,61 127,369185 127,301135 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-01 9,3365 9,3315 13,72 13,72 128,09678 128,02818 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-02 9,3025 9,2975 13,76 13,76 128,0024 127,9336 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-05 9,2845 9,2795 13,78 13,78 127,94041 127,87151 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-06 9,3225 9,3175 13,87 13,87 129,303075 129,233725 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-07 9,3075 9,3025 13,92 13,92 129,5604 129,4908 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-08 9,3255 9,3205 13,91 13,91 129,717705 129,648155 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-09 9,3445 9,3395 13,99 13,99 130,729555 130,659605 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-12 9,3015 9,2965 14,02 14,02 130,40703 130,33693 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-13 9,3015 9,2965 13,94 13,94 129,66291 129,59321 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-14 9,3365 9,3315 13,94 13,94 130,15081 130,08111 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-15 9,3425 9,3375 13,98 13,98 130,60815 130,53825 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-16 9,3465 9,3415 14,04 14,04 131,22486 131,15466 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-19 9,3355 9,3305 14,05 14,05 131,163775 131,093525 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-20 9,3395 9,3345 14,09 14,09 131,593555 131,523105 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-21 9,3405 9,3355 14,05 14,05 131,234025 131,163775 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-22 9,3405 9,3355 13,97 13,97 130,486785 130,416935 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-23 9,3695 9,3645 14 14 131,173 131,103 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-26 9,3815 9,3765 14,1 14,1 132,27915 132,20865 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-27 9,3885 9,3835 14,12 14,12 132,56562 132,49502 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-28 9,3935 9,3885 14,22 14,22 133,57557 133,50447 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-29 9,3845 9,3795 14,23 14,23 133,541435 133,470285 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-09-30 9,3435 9,3385 14,34 14,34 133,98579 133,91409 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-03 9,3025 9,2975 14,43 14,43 134,235075 134,162925 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-04 9,3185 9,3135 14,49 14,49 135,025065 134,952615 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-05 9,3105 9,3055 14,4 14,4 134,0712 133,9992 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-06 9,3015 9,2965 14,21 14,21 132,174315 132,103265 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-07 9,3385 9,3335 14,18 14,18 132,41993 132,34903 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-10 9,3465 9,3415 14,23 14,23 133,000695 132,929545 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-11 9,3395 9,3345 14,27 14,27 133,274665 133,203315 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-12 9,3375 9,3325 14,22 14,22 132,77925 132,70815 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-13 9,3815 9,3765 13,94 13,94 130,77811 130,70841 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-14 9,4135 9,4085 13,93 13,93 131,130055 131,060405 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-17 9,4575 9,4525 13,95 13,95 131,932125 131,862375 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-18 9,4625 9,4575 13,45 13,45 127,270625 127,203375 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-19 9,4605 9,4555 13,55 13,55 128,189775 128,122025 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-20 9,4935 9,4885 13,59 13,59 129,016665 128,948715 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-21 9,4915 9,4865 13,49 13,49 128,040335 127,972885 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-24 9,5455 9,5405 13,64 13,64 130,20062 130,13242 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-25 9,5465 9,5415 13,67 13,67 130,500655 130,432305 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-26 9,4975 9,4925 13,69 13,69 130,020775 129,952325 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-27 9,5355 9,5305 13,51 13,51 128,824605 128,757055 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-10-28 9,5135 9,5085 13,45 13,45 127,956575 127,889325 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-01 9,5495 9,5445 13,72 13,72 131,01914 130,95054 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-02 9,5855 9,5805 13,75 13,75 131,800625 131,731875 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-03 9,6515 9,6465 13,9 13,9 134,15585 134,08635 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-04 9,5875 9,5825 13,87 13,87 132,978625 132,909275 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-07 9,6075 9,6025 13,91 13,91 133,640325 133,570775 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-08 9,5685 9,5635 13,93 13,93 133,289205 133,219555 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-09 9,5575 9,5525 13,95 13,95 133,327125 133,257375 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-10 9,6105 9,6055 13,94 13,94 133,97037 133,90067 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-11 9,6365 9,6315 14,02 14,02 135,10373 135,03363 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-14 9,5505 9,5455 14,04 14,04 134,08902 134,01882 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-15 9,5805 9,5755 14 14 134,127 134,057 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-16 9,6235 9,6185 13,95 13,95 134,247825 134,178075 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-17 9,6355 9,6305 14,01 14,01 134,993355 134,923305 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-18 9,6085 9,6035 14,09 14,09 135,383765 135,313315 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-21 9,5915 9,5865 14,1 14,1 135,24015 135,16965 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-22 9,5585 9,5535 14,13 14,13 135,061605 134,990955 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-23 9,5155 9,5105 14,18 14,18 134,92979 134,85889 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-24 9,5125 9,5075 14,18 14,18 134,88725 134,81635 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-25 9,4965 9,4915 14,23 14,23 135,135195 135,064045 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-28 9,4835 9,4785 14,2 14,2 134,6657 134,5947 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-29 9,4785 9,4735 14,2 14,2 134,5947 134,5237 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-11-30 9,5295 9,5245 14,18 14,18 135,12831 135,05741 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-01 9,5165 9,5115 14,32 14,32 136,27628 136,20468 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-02 9,4905 9,4855 14,45 14,45 137,137725 137,065475 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-05 9,4065 9,4015 14,45 14,45 135,923925 135,851675 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-06 9,4185 9,4135 14,5 14,5 136,56825 136,49575 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-07 9,4255 9,4205 14,5 14,5 136,66975 136,59725 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-08 9,3965 9,3915 14,49 14,49 136,155285 136,082835 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-12 9,4315 9,4265 14,55 14,55 137,228325 137,155575 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-13 9,4295 9,4245 14,53 14,53 137,010635 136,937985 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-14 9,4365 9,4315 14,51 14,51 136,923615 136,851065 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-15 9,4345 9,4295 14,5 14,5 136,80025 136,72775 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-16 9,4765 9,4715 14,55 14,55 137,883075 137,810325 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-19 9,4535 9,4485 14,56 14,56 137,64296 137,57016 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-20 9,4015 9,3965 14,58 14,58 137,07387 137,00097 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-21 9,4485 9,4435 14,69 14,69 138,798465 138,725015 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-22 9,4365 9,4315 14,68 14,68 138,52782 138,45442 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-23 9,4425 9,4375 14,73 14,73 139,088025 139,014375 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-29 9,4115 9,4065 14,86 14,86 139,85489 139,78059 258491 AXA Rosenberg Management Ireland Limited AXA Rosenberg Europe Ex-UK Small Cap Alpha Fund EUR 2005-12-30 9,4325 9,4275 14,84 14,84 139,9783 139,9041 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-04 6,728 6,718 10,08 10,08 67,81824 67,71744 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-05 6,828 6,818 10,02 10,02 68,41656 68,31636 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-07 6,87 6,86 10 10 68,7 68,6 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-11 6,96091 6,95091 10,02 10,02 69,7483182 69,6481182 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-12 6,913 6,903 10,06 10,06 69,54478 69,44418 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-13 6,843 6,833 10,02 10,02 68,56686 68,46666 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-14 6,915 6,905 10,05 10,05 69,49575 69,39525 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-18 6,968 6,958 10,1 10,1 70,3768 70,2758 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-19 6,91 6,9 10,06 10,06 69,5146 69,414 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-20 6,96 6,95 9,95 9,95 69,252 69,1525 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-21 6,978 6,968 9,95 9,95 69,4311 69,3316 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-24 6,933 6,923 9,94 9,94 68,91402 68,81462 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-25 6,95 6,94 9,95 9,95 69,1525 69,053 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-26 6,995 6,985 10,04 10,04 70,2298 70,1294 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-27 6,93 6,92 10,03 10,03 69,5079 69,4076 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-28 6,985 6,975 10,01 10,01 69,91985 69,81975 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-01-31 6,998 6,988 10,11 10,11 70,74978 70,64868 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-01 6,993 6,983 10,17 10,17 71,11881 71,01711 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-02 6,953 6,943 10,22 10,22 71,05966 70,95746 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-03 6,968 6,958 10,19 10,19 71,00392 70,90202 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-04 7,01 7 10,29 10,29 72,1329 72,03 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-07 7,065 7,055 10,27 10,27 72,55755 72,45485 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-08 7,123 7,113 10,25 10,25 73,01075 72,90825 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-09 7,1 7,09 10,21 10,21 72,491 72,3889 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-10 7,088 7,078 10,28 10,28 72,86464 72,76184 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-14 7,03 7,02 10,39 10,39 73,0417 72,9378 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-15 7,005 6,995 10,42 10,42 72,9921 72,8879 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-16 6,973 6,963 10,4 10,4 72,5192 72,4152 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-17 6,97 6,96 10,4 10,4 72,488 72,384 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-18 6,965 6,955 10,42 10,42 72,5753 72,4711 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-22 6,905 6,895 10,35 10,35 71,46675 71,36325 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-23 6,895 6,885 10,33 10,33 71,22535 71,12205 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-24 6,858 6,848 10,39 10,39 71,25462 71,15072 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-25 6,885 6,875 10,51 10,51 72,36135 72,25625 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-02-28 6,828 6,818 10,51 10,51 71,76228 71,65718 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-01 6,87 6,86 10,54 10,54 72,4098 72,3044 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-02 6,888 6,878 10,53 10,53 72,53064 72,42534 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-03 6,903 6,893 10,53 10,53 72,68859 72,58329 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-04 6,9 6,89 10,67 10,67 73,623 73,5163 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-07 6,84 6,83 10,66 10,66 72,9144 72,8078 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-08 6,825 6,815 10,66 10,66 72,7545 72,6479 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-09 6,76 6,75 10,58 10,58 71,5208 71,415 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-10 6,745 6,735 10,56 10,56 71,2272 71,1216 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-11 6,765 6,755 10,57 10,57 71,50605 71,40035 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-14 6,76 6,75 10,56 10,56 71,3856 71,28 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-15 6,815 6,805 10,54 10,54 71,8301 71,7247 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-16 6,81 6,8 10,5 10,5 71,505 71,4 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-18 6,828 6,818 10,48 10,48 71,55744 71,45264 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-22 6,928 6,918 10,37 10,37 71,84336 71,73966 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-23 6,973 6,963 10,27 10,27 71,61271 71,51001 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-24 7,008 6,998 10,26 10,26 71,90208 71,79948 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-29 7,055 7,045 10,19 10,19 71,89045 71,78855 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-30 7,053 7,043 10,26 10,26 72,36378 72,26118 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-03-31 7,065 7,055 10,3 10,3 72,7695 72,6665 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-01 7,07 7,06 10,3 10,3 72,821 72,718 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-04 7,113 7,103 10,26 10,26 72,97938 72,87678 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-05 7,163 7,153 10,3 10,3 73,7789 73,6759 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-06 7,125 7,115 10,33 10,33 73,60125 73,49795 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-07 7,083 7,073 10,38 10,38 73,52154 73,41774 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-08 7,153 7,143 10,32 10,32 73,81896 73,71576 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-11 7,098 7,088 10,34 10,34 73,39332 73,28992 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-12 7,048 7,038 10,32 10,32 72,73536 72,63216 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-13 7,075 7,065 10,26 10,26 72,5895 72,4869 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-14 7,12 7,11 10,13 10,13 72,1256 72,0243 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-15 7,17 7,16 9,98 9,98 71,5566 71,4568 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-18 7,08 7,07 9,92 9,92 70,2336 70,1344 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-19 7,068 7,058 10,02 10,02 70,82136 70,72116 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-20 7,043 7,033 9,93 9,93 69,93699 69,83769 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-21 7,025 7,015 10,03 10,03 70,46075 70,36045 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-22 7,023 7,013 10,05 10,05 70,58115 70,48065 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-25 7,04 7,03 10,1 10,1 71,104 71,003 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-26 7,035 7,025 10,01 10,01 70,42035 70,32025 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-27 7,085 7,075 9,97 9,97 70,63745 70,53775 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-04-28 7,085 7,075 9,89 9,89 70,07065 69,97175 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-06 7,085 7,075 10,15 10,15 71,91275 71,81125 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-09 7,168 7,158 10,16 10,16 72,82688 72,72528 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-10 7,178 7,168 10,08 10,08 72,35424 72,25344 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-11 7,15 7,14 10,07 10,07 72,0005 71,8998 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-12 7,243 7,233 9,98 9,98 72,28514 72,18534 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-13 7,265 7,255 9,91 9,91 71,99615 71,89705 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-16 7,32 7,31 9,93 9,93 72,6876 72,5883 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-17 7,313 7,303 9,98 9,98 72,98374 72,88394 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-18 7,3 7,29 10,07 10,07 73,511 73,4103 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-19 7,26 7,25 10,13 10,13 73,5438 73,4425 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-20 7,28 7,27 10,1 10,1 73,528 73,427 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-23 7,32 7,31 10,17 10,17 74,4444 74,3427 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-24 7,295 7,285 10,18 10,18 74,2631 74,1613 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-25 7,298 7,288 10,15 10,15 74,0747 73,9732 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-26 7,33 7,32 10,19 10,19 74,6927 74,5908 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-27 7,338 7,328 10,22 10,22 74,99436 74,89216 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-05-31 7,403 7,393 10,18 10,18 75,36254 75,26074 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-01 7,428 7,418 10,25 10,25 76,137 76,0345 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-02 7,473 7,463 10,29 10,29 76,89717 76,79427 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-03 7,438 7,428 10,25 10,25 76,2395 76,137 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-07 7,448 7,438 10,3 10,3 76,7144 76,6114 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-08 7,435 7,425 10,28 10,28 76,4318 76,329 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-09 7,523 7,513 10,27 10,27 77,26121 77,15851 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-10 7,525 7,515 10,27 10,27 77,28175 77,17905 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-13 7,643 7,633 10,27 10,27 78,49361 78,39091 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-14 7,663 7,653 10,3 10,3 78,9289 78,8259 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-15 7,693 7,683 10,33 10,33 79,46869 79,36539 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-16 7,678 7,668 10,38 10,38 79,69764 79,59384 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-17 7,643 7,633 10,47 10,47 80,02221 79,91751 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-20 7,543 7,533 10,44 10,44 78,74892 78,64452 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-21 7,648 7,638 10,44 10,44 79,84512 79,74072 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-22 7,608 7,598 10,44 10,44 79,42752 79,32312 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-23 7,73 7,72 10,38 10,38 80,2374 80,1336 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-27 7,73 7,72 10,3 10,3 79,619 79,516 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-28 7,76 7,75 10,36 10,36 80,3936 80,29 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-29 7,833 7,823 10,36 10,36 81,14988 81,04628 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-06-30 7,823 7,813 10,32 10,32 80,73336 80,63016 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-01 7,858 7,848 10,31 10,31 81,01598 80,91288 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-05 7,963 7,953 10,35 10,35 82,41705 82,31355 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-06 7,895 7,885 10,34 10,34 81,6343 81,5309 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-07 7,878 7,868 10,3 10,3 81,1434 81,0404 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-08 7,913 7,903 10,39 10,39 82,21607 82,11217 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-11 7,89 7,88 10,48 10,48 82,6872 82,5824 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-12 7,77 7,76 10,53 10,53 81,8181 81,7128 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-13 7,703 7,693 10,5 10,5 80,8815 80,7765 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-14 7,76 7,75 10,52 10,52 81,6352 81,53 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-15 7,76 7,75 10,52 10,52 81,6352 81,53 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-19 7,878 7,868 10,52 10,52 82,87656 82,77136 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-20 7,818 7,808 10,56 10,56 82,55808 82,45248 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-21 7,775 7,765 10,57 10,57 82,18175 82,07605 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-22 7,758 7,748 10,61 10,61 82,31238 82,20628 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-25 7,838 7,828 10,57 10,57 82,84766 82,74196 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-26 7,818 7,808 10,56 10,56 82,55808 82,45248 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-27 7,905 7,895 10,62 10,62 83,9511 83,8449 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-28 7,848 7,838 10,7 10,7 83,9736 83,8666 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-07-29 7,748 7,738 10,67 10,67 82,67116 82,56446 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-02 7,7 7,69 10,8 10,8 83,16 83,052 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-03 7,685 7,675 10,83 10,83 83,22855 83,12025 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-04 7,618 7,608 10,76 10,76 81,96968 81,86208 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-05 7,548 7,538 10,66 10,66 80,46168 80,35508 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-08 7,558 7,548 10,68 10,68 80,71944 80,61264 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-09 7,548 7,538 10,73 10,73 80,99004 80,88274 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-10 7,558 7,548 10,81 10,81 81,70198 81,59388 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-11 7,523 7,513 10,89 10,89 81,92547 81,81657 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-12 7,46 7,45 10,85 10,85 80,941 80,8325 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-15 7,508 7,498 10,84 10,84 81,38672 81,27832 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-16 7,523 7,513 10,75 10,75 80,87225 80,76475 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-17 7,605 7,595 10,73 10,73 81,60165 81,49435 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-18 7,61 7,6 10,66 10,66 81,1226 81,016 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-19 7,698 7,688 10,69 10,69 82,29162 82,18472 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-22 7,69 7,68 10,75 10,75 82,6675 82,56 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-23 7,663 7,653 10,7 10,7 81,9941 81,8871 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-24 7,673 7,663 10,67 10,67 81,87091 81,76421 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-25 7,588 7,578 10,68 10,68 81,03984 80,93304 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-26 7,578 7,568 10,63 10,63 80,55414 80,44784 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-30 7,633 7,623 10,61 10,61 80,98613 80,88003 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-08-31 7,668 7,658 10,75 10,75 82,431 82,3235 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-01 7,568 7,558 10,87 10,87 82,26416 82,15546 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-02 7,435 7,425 10,87 10,87 80,81845 80,70975 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-06 7,485 7,475 10,96 10,96 82,0356 81,926 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-07 7,43 7,42 10,99 10,99 81,6557 81,5458 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-08 7,498 7,488 10,94 10,94 82,02812 81,91872 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-09 7,523 7,513 11,04 11,04 83,05392 82,94352 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-12 7,555 7,545 11,01 11,01 83,18055 83,07045 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-13 7,57 7,56 10,93 10,93 82,7401 82,6308 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-14 7,61 7,6 10,94 10,94 83,2534 83,144 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-15 7,658 7,648 10,95 10,95 83,8551 83,7456 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-16 7,613 7,603 11,01 11,01 83,81913 83,70903 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-20 7,688 7,678 10,97 10,97 84,33736 84,22766 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-21 7,663 7,653 10,91 10,91 83,60333 83,49423 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-22 7,648 7,638 10,89 10,89 83,28672 83,17782 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-26 7,798 7,788 10,96 10,96 85,46608 85,35648 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-27 7,825 7,815 10,92 10,92 85,449 85,3398 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-28 7,81 7,8 10,98 10,98 85,7538 85,644 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-29 7,785 7,775 11,06 11,06 86,1021 85,9915 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-09-30 7,785 7,775 11,08 11,08 86,2578 86,147 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-03 7,783 7,773 11,05 11,05 86,00215 85,89165 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-04 7,82 7,81 11,01 11,01 86,0982 85,9881 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-05 7,795 7,785 10,85 10,85 84,57575 84,46725 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-06 7,713 7,703 10,76 10,76 82,99188 82,88428 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-07 7,683 7,673 10,78 10,78 82,82274 82,71494 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-11 7,77 7,76 10,74 10,74 83,4498 83,3424 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-12 7,805 7,795 10,67 10,67 83,27935 83,17265 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-13 7,83 7,82 10,57 10,57 82,7631 82,6574 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-14 7,833 7,823 10,66 10,66 83,49978 83,39318 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-17 7,835 7,825 10,67 10,67 83,59945 83,49275 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-18 7,893 7,883 10,55 10,55 83,27115 83,16565 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-19 7,96 7,95 10,59 10,59 84,2964 84,1905 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-20 7,93 7,92 10,52 10,52 83,4236 83,3184 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-21 7,883 7,873 10,54 10,54 83,08682 82,98142 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-24 7,995 7,985 10,67 10,67 85,30665 85,19995 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-25 7,99 7,98 10,7 10,7 85,493 85,386 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-26 7,868 7,858 10,7 10,7 84,1876 84,0806 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-27 7,868 7,858 10,61 10,61 83,47948 83,37338 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-10-28 7,825 7,815 10,7 10,7 83,7275 83,6205 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-01 7,963 7,953 10,85 10,85 86,39855 86,29005 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-02 7,98 7,97 10,95 10,95 87,381 87,2715 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-04 8,028 8,018 10,94 10,94 87,82632 87,71692 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-07 8,135 8,125 10,96 10,96 89,1596 89,05 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-08 8,17 8,16 10,94 10,94 89,3798 89,2704 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-09 8,12 8,11 10,93 10,93 88,7516 88,6423 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-10 8,173 8,163 10,96 10,96 89,57608 89,46648 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-11 8,235 8,225 11,01 11,01 90,66735 90,55725 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-14 8,133 8,123 11 11 89,463 89,353 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-15 8,185 8,175 10,94 10,94 89,5439 89,4345 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-16 8,21 8,2 10,95 10,95 89,8995 89,79 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-17 8,258 8,248 11,07 11,07 91,41606 91,30536 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-18 8,223 8,213 11,12 11,12 91,43976 91,32856 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-21 8,123 8,113 11,18 11,18 90,81514 90,70334 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-22 8,15 8,14 11,22 11,22 91,443 91,3308 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-25 8,078 8,068 11,27 11,27 91,03906 90,92636 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-28 8,118 8,108 11,21 11,21 91,00278 90,89068 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-29 8,015 8,005 11,21 11,21 89,84815 89,73605 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-11-30 8,088 8,078 11,16 11,16 90,26208 90,15048 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-01 8,083 8,073 11,29 11,29 91,25707 91,14417 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-02 8,103 8,093 11,33 11,33 91,80699 91,69369 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-05 8,045 8,035 11,34 11,34 91,2303 91,1169 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-06 7,993 7,983 11,38 11,38 90,96034 90,84654 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-07 8,015 8,005 11,32 11,32 90,7298 90,6166 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-08 7,988 7,978 11,34 11,34 90,58392 90,47052 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-12 7,953 7,943 11,43 11,43 90,90279 90,78849 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-13 7,905 7,895 11,45 11,45 90,51225 90,39775 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-14 7,848 7,838 11,5 11,5 90,252 90,137 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-15 7,858 7,848 11,45 11,45 89,9741 89,8596 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-16 7,903 7,893 11,47 11,47 90,64741 90,53271 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-19 7,865 7,855 11,41 11,41 89,73965 89,62555 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-20 7,848 7,838 11,42 11,42 89,62416 89,50996 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-21 7,948 7,938 11,45 11,45 91,0046 90,8901 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-22 7,98 7,97 11,5 11,5 91,77 91,655 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-29 7,938 7,928 11,46 11,46 90,96948 90,85488 294322 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Equity Alpha Fund USD 2005-12-30 7,958 7,948 11,38 11,38 90,56204 90,44824 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-04 6,728 6,718 17,17 17,17 115,51976 115,34806 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-05 6,828 6,818 17,02 17,02 116,21256 116,04236 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-07 6,87 6,86 16,96 16,96 116,5152 116,3456 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-11 6,96091 6,95091 17,02 17,02 118,4746882 118,3044882 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-12 6,913 6,903 17,13 17,13 118,41969 118,24839 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-13 6,843 6,833 17,15 17,15 117,35745 117,18595 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-14 6,915 6,905 17,24 17,24 119,2146 119,0422 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-18 6,968 6,958 17,38 17,38 121,10384 120,93004 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-19 6,91 6,9 17,34 17,34 119,8194 119,646 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-20 6,96 6,95 17,2 17,2 119,712 119,54 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-21 6,978 6,968 17,19 17,19 119,95182 119,77992 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-24 6,933 6,923 17,15 17,15 118,90095 118,72945 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-25 6,95 6,94 17,13 17,13 119,0535 118,8822 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-26 6,995 6,985 17,35 17,35 121,36325 121,18975 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-27 6,93 6,92 17,39 17,39 120,5127 120,3388 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-28 6,985 6,975 17,32 17,32 120,9802 120,807 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-01-31 6,998 6,988 17,55 17,55 122,8149 122,6394 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-01 6,993 6,983 17,64 17,64 123,35652 123,18012 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-02 6,953 6,943 17,77 17,77 123,55481 123,37711 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-03 6,968 6,958 17,75 17,75 123,682 123,5045 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-04 7,01 7 17,9 17,9 125,479 125,3 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-07 7,065 7,055 17,88 17,88 126,3222 126,1434 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-08 7,123 7,113 17,88 17,88 127,35924 127,18044 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-09 7,1 7,09 17,77 17,77 126,167 125,9893 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-10 7,088 7,078 17,87 17,87 126,66256 126,48386 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-14 7,03 7,02 18,06 18,06 126,9618 126,7812 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-15 7,005 6,995 18,07 18,07 126,58035 126,39965 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-16 6,973 6,963 18,09 18,09 126,14157 125,96067 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-17 6,97 6,96 18,09 18,09 126,0873 125,9064 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-18 6,965 6,955 18,11 18,11 126,13615 125,95505 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-22 6,905 6,895 17,97 17,97 124,08285 123,90315 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-23 6,895 6,885 17,94 17,94 123,6963 123,5169 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-24 6,858 6,848 18,1 18,1 124,1298 123,9488 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-25 6,885 6,875 18,32 18,32 126,1332 125,95 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-02-28 6,828 6,818 18,37 18,37 125,43036 125,24666 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-01 6,87 6,86 18,43 18,43 126,6141 126,4298 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-02 6,888 6,878 18,4 18,4 126,7392 126,5552 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-03 6,903 6,893 18,43 18,43 127,22229 127,03799 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-04 6,9 6,89 18,66 18,66 128,754 128,5674 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-07 6,84 6,83 18,63 18,63 127,4292 127,2429 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-08 6,825 6,815 18,59 18,59 126,87675 126,69085 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-09 6,76 6,75 18,5 18,5 125,06 124,875 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-10 6,745 6,735 18,42 18,42 124,2429 124,0587 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-11 6,765 6,755 18,54 18,54 125,4231 125,2377 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-14 6,76 6,75 18,5 18,5 125,06 124,875 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-15 6,815 6,805 18,47 18,47 125,87305 125,68835 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-16 6,81 6,8 18,42 18,42 125,4402 125,256 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-18 6,828 6,818 18,31 18,31 125,02068 124,83758 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-22 6,928 6,918 18,22 18,22 126,22816 126,04596 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-23 6,973 6,963 17,96 17,96 125,23508 125,05548 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-24 7,008 6,998 17,97 17,97 125,93376 125,75406 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-29 7,055 7,045 17,74 17,74 125,1557 124,9783 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-30 7,053 7,043 17,84 17,84 125,82552 125,64712 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-03-31 7,065 7,055 17,99 17,99 127,09935 126,91945 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-01 7,07 7,06 18 18 127,26 127,08 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-04 7,113 7,103 17,92 17,92 127,46496 127,28576 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-05 7,163 7,153 17,97 17,97 128,71911 128,53941 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-06 7,125 7,115 18,02 18,02 128,3925 128,2123 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-07 7,083 7,073 18,09 18,09 128,13147 127,95057 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-08 7,153 7,143 17,97 17,97 128,53941 128,35971 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-11 7,098 7,088 17,98 17,98 127,62204 127,44224 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-12 7,048 7,038 17,97 17,97 126,65256 126,47286 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-13 7,075 7,065 17,87 17,87 126,43025 126,25155 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-14 7,12 7,11 17,58 17,58 125,1696 124,9938 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-15 7,17 7,16 17,34 17,34 124,3278 124,1544 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-18 7,08 7,07 17,25 17,25 122,13 121,9575 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-19 7,068 7,058 17,5 17,5 123,69 123,515 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-20 7,043 7,033 17,37 17,37 122,33691 122,16321 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-21 7,025 7,015 17,5 17,5 122,9375 122,7625 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-22 7,023 7,013 17,48 17,48 122,76204 122,58724 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-25 7,04 7,03 17,59 17,59 123,8336 123,6577 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-26 7,035 7,025 17,42 17,42 122,5497 122,3755 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-27 7,085 7,075 17,31 17,31 122,64135 122,46825 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-04-28 7,085 7,075 17,12 17,12 121,2952 121,124 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-06 7,085 7,075 17,52 17,52 124,1292 123,954 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-09 7,168 7,158 17,57 17,57 125,94176 125,76606 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-10 7,178 7,168 17,47 17,47 125,39966 125,22496 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-11 7,15 7,14 17,45 17,45 124,7675 124,593 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-12 7,243 7,233 17,26 17,26 125,01418 124,84158 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-13 7,265 7,255 17,11 17,11 124,30415 124,13305 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-16 7,32 7,31 17,17 17,17 125,6844 125,5127 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-17 7,313 7,303 17,22 17,22 125,92986 125,75766 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-18 7,3 7,29 17,41 17,41 127,093 126,9189 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-19 7,26 7,25 17,5 17,5 127,05 126,875 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-20 7,28 7,27 17,44 17,44 126,9632 126,7888 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-23 7,32 7,31 17,57 17,57 128,6124 128,4367 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-24 7,295 7,285 17,58 17,58 128,2461 128,0703 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-25 7,298 7,288 17,5 17,5 127,715 127,54 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-26 7,33 7,32 17,62 17,62 129,1546 128,9784 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-27 7,338 7,328 17,7 17,7 129,8826 129,7056 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-05-31 7,403 7,393 17,71 17,71 131,10713 130,93003 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-01 7,428 7,418 17,8 17,8 132,2184 132,0404 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-02 7,473 7,463 17,88 17,88 133,61724 133,43844 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-03 7,438 7,428 17,85 17,85 132,7683 132,5898 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-07 7,448 7,438 17,96 17,96 133,76608 133,58648 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-08 7,435 7,425 17,95 17,95 133,45825 133,27875 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-09 7,523 7,513 17,95 17,95 135,03785 134,85835 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-10 7,525 7,515 17,97 17,97 135,22425 135,04455 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-13 7,643 7,633 18,01 18,01 137,65043 137,47033 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-14 7,663 7,653 18,09 18,09 138,62367 138,44277 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-15 7,693 7,683 18,18 18,18 139,85874 139,67694 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-16 7,678 7,668 18,3 18,3 140,5074 140,3244 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-17 7,643 7,633 18,42 18,42 140,78406 140,59986 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-20 7,543 7,533 18,35 18,35 138,41405 138,23055 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-21 7,648 7,638 18,33 18,33 140,18784 140,00454 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-22 7,608 7,598 18,37 18,37 139,75896 139,57526 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-23 7,73 7,72 18,25 18,25 141,0725 140,89 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-27 7,73 7,72 18,13 18,13 140,1449 139,9636 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-28 7,76 7,75 18,27 18,27 141,7752 141,5925 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-29 7,833 7,823 18,3 18,3 143,3439 143,1609 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-06-30 7,823 7,813 18,29 18,29 143,08267 142,89977 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-01 7,858 7,848 18,33 18,33 144,03714 143,85384 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-05 7,963 7,953 18,43 18,43 146,75809 146,57379 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-06 7,895 7,885 18,43 18,43 145,50485 145,32055 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-07 7,878 7,868 18,4 18,4 144,9552 144,7712 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-08 7,913 7,903 18,58 18,58 147,02354 146,83774 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-11 7,89 7,88 18,8 18,8 148,332 148,144 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-12 7,77 7,76 18,9 18,9 146,853 146,664 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-13 7,703 7,693 18,81 18,81 144,89343 144,70533 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-14 7,76 7,75 18,76 18,76 145,5776 145,39 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-15 7,76 7,75 18,74 18,74 145,4224 145,235 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-19 7,878 7,868 18,81 18,81 148,18518 147,99708 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-20 7,818 7,808 18,91 18,91 147,83838 147,64928 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-21 7,775 7,765 18,93 18,93 147,18075 146,99145 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-22 7,758 7,748 19,07 19,07 147,94506 147,75436 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-25 7,838 7,828 18,97 18,97 148,68686 148,49716 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-26 7,818 7,808 18,98 18,98 148,38564 148,19584 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-27 7,905 7,895 19,07 19,07 150,74835 150,55765 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-28 7,848 7,838 19,26 19,26 151,15248 150,95988 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-07-29 7,748 7,738 19,3 19,3 149,5364 149,3434 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-02 7,7 7,69 19,51 19,51 150,227 150,0319 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-03 7,685 7,675 19,54 19,54 150,1649 149,9695 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-04 7,618 7,608 19,42 19,42 147,94156 147,74736 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-05 7,548 7,538 19,18 19,18 144,77064 144,57884 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-08 7,558 7,548 19,17 19,17 144,88686 144,69516 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-09 7,548 7,538 19,26 19,26 145,37448 145,18188 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-10 7,558 7,548 19,39 19,39 146,54962 146,35572 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-11 7,523 7,513 19,53 19,53 146,92419 146,72889 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-12 7,46 7,45 19,48 19,48 145,3208 145,126 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-15 7,508 7,498 19,51 19,51 146,48108 146,28598 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-16 7,523 7,513 19,35 19,35 145,57005 145,37655 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-17 7,605 7,595 19,29 19,29 146,70045 146,50755 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-18 7,61 7,6 19,12 19,12 145,5032 145,312 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-19 7,698 7,688 19,15 19,15 147,4167 147,2252 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-22 7,69 7,68 19,32 19,32 148,5708 148,3776 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-23 7,663 7,653 19,29 19,29 147,81927 147,62637 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-24 7,673 7,663 19,28 19,28 147,93544 147,74264 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-25 7,588 7,578 19,32 19,32 146,60016 146,40696 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-26 7,578 7,568 19,25 19,25 145,8765 145,684 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-30 7,633 7,623 19,22 19,22 146,70626 146,51406 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-08-31 7,668 7,658 19,45 19,45 149,1426 148,9481 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-01 7,568 7,558 19,67 19,67 148,86256 148,66586 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-02 7,435 7,425 19,72 19,72 146,6182 146,421 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-06 7,485 7,475 19,84 19,84 148,5024 148,304 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-07 7,43 7,42 19,91 19,91 147,9313 147,7322 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-08 7,498 7,488 19,8 19,8 148,4604 148,2624 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-09 7,523 7,513 19,99 19,99 150,38477 150,18487 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-12 7,555 7,545 19,94 19,94 150,6467 150,4473 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-13 7,57 7,56 19,81 19,81 149,9617 149,7636 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-14 7,61 7,6 19,79 19,79 150,6019 150,404 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-15 7,658 7,648 19,74 19,74 151,16892 150,97152 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-16 7,613 7,603 19,81 19,81 150,81353 150,61543 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-20 7,688 7,678 19,71 19,71 151,53048 151,33338 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-21 7,663 7,653 19,61 19,61 150,27143 150,07533 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-22 7,648 7,638 19,56 19,56 149,59488 149,39928 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-26 7,798 7,788 19,73 19,73 153,85454 153,65724 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-27 7,825 7,815 19,7 19,7 154,1525 153,9555 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-28 7,81 7,8 19,77 19,77 154,4037 154,206 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-29 7,785 7,775 19,91 19,91 154,99935 154,80025 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-09-30 7,785 7,775 20 20 155,7 155,5 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-03 7,783 7,773 20,01 20,01 155,73783 155,53773 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-04 7,82 7,81 19,93 19,93 155,8526 155,6533 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-05 7,795 7,785 19,58 19,58 152,6261 152,4303 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-06 7,713 7,703 19,4 19,4 149,6322 149,4382 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-07 7,683 7,673 19,45 19,45 149,43435 149,23985 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-11 7,77 7,76 19,31 19,31 150,0387 149,8456 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-12 7,805 7,795 19,15 19,15 149,46575 149,27425 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-13 7,83 7,82 18,94 18,94 148,3002 148,1108 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-14 7,833 7,823 19,14 19,14 149,92362 149,73222 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-17 7,835 7,825 19,14 19,14 149,9619 149,7705 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-18 7,893 7,883 18,92 18,92 149,33556 149,14636 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-19 7,96 7,95 18,94 18,94 150,7624 150,573 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-20 7,93 7,92 18,83 18,83 149,3219 149,1336 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-21 7,883 7,873 18,89 18,89 148,90987 148,72097 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-24 7,995 7,985 19,13 19,13 152,94435 152,75305 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-25 7,99 7,98 19,2 19,2 153,408 153,216 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-26 7,868 7,858 19,17 19,17 150,82956 150,63786 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-27 7,868 7,858 18,96 18,96 149,17728 148,98768 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-10-28 7,825 7,815 19,06 19,06 149,1445 148,9539 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-01 7,963 7,953 19,38 19,38 154,32294 154,12914 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-02 7,98 7,97 19,62 19,62 156,5676 156,3714 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-04 8,028 8,018 19,51 19,51 156,62628 156,43118 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-07 8,135 8,125 19,55 19,55 159,03925 158,84375 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-08 8,17 8,16 19,5 19,5 159,315 159,12 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-09 8,12 8,11 19,51 19,51 158,4212 158,2261 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-10 8,173 8,163 19,54 19,54 159,70042 159,50502 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-11 8,235 8,225 19,63 19,63 161,65305 161,45675 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-14 8,133 8,123 19,59 19,59 159,32547 159,12957 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-15 8,185 8,175 19,47 19,47 159,36195 159,16725 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-16 8,21 8,2 19,47 19,47 159,8487 159,654 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-17 8,258 8,248 19,72 19,72 162,84776 162,65056 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-18 8,223 8,213 19,76 19,76 162,48648 162,28888 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-21 8,123 8,113 19,89 19,89 161,56647 161,36757 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-22 8,15 8,14 19,97 19,97 162,7555 162,5558 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-25 8,078 8,068 20,06 20,06 162,04468 161,84408 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-28 8,118 8,108 19,89 19,89 161,46702 161,26812 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-29 8,015 8,005 19,96 19,96 159,9794 159,7798 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-11-30 8,088 8,078 20 20 161,76 161,56 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-01 8,083 8,073 20,24 20,24 163,59992 163,39752 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-02 8,103 8,093 20,33 20,33 164,73399 164,53069 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-05 8,045 8,035 20,37 20,37 163,87665 163,67295 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-06 7,993 7,983 20,41 20,41 163,13713 162,93303 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-07 8,015 8,005 20,31 20,31 162,78465 162,58155 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-08 7,988 7,978 20,35 20,35 162,5558 162,3523 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-12 7,953 7,943 20,6 20,6 163,8318 163,6258 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-13 7,905 7,895 20,61 20,61 162,92205 162,71595 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-14 7,848 7,838 20,7 20,7 162,4536 162,2466 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-15 7,858 7,848 20,57 20,57 161,63906 161,43336 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-16 7,903 7,893 20,58 20,58 162,64374 162,43794 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-19 7,865 7,855 20,44 20,44 160,7606 160,5562 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-20 7,848 7,838 20,44 20,44 160,41312 160,20872 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-21 7,948 7,938 20,53 20,53 163,17244 162,96714 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-22 7,98 7,97 20,62 20,62 164,5476 164,3414 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-29 7,938 7,928 20,64 20,64 163,84032 163,63392 330159 AXA Rosenberg Management Ireland Limited AXA Rosenberg Global Small Cap Alpha Fund USD 2005-12-30 7,958 7,948 20,51 20,51 163,21858 163,01348 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-04 0,06545 0,06535 835,69 835,69 54,6959105 54,6123415 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-05 0,0653 0,0652 829,37 829,37 54,157861 54,074924 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-07 0,06565 0,06555 832,68 832,68 54,665442 54,582174 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-11 0,06651 0,06641 841,24 841,24 55,9508724 55,8667484 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-12 0,06685 0,06675 835,38 835,38 55,845153 55,761615 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-13 0,06685 0,06675 829,85 829,85 55,4754725 55,3924875 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-14 0,0672 0,0671 834,79 834,79 56,097888 56,014409 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-17 0,0679 0,0678 837,94 837,94 56,896126 56,812332 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-18 0,0679 0,0678 833,97 833,97 56,626563 56,543166 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-19 0,06745 0,06735 834,71 834,71 56,3011895 56,2177185 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-20 0,06765 0,06755 826,46 826,46 55,910019 55,827373 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-21 0,06725 0,06715 826,27 826,27 55,5666575 55,4840305 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-24 0,06745 0,06735 831,64 831,64 56,094118 56,010954 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-25 0,0674 0,0673 831,66 831,66 56,053884 55,970718 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-26 0,06755 0,06745 837,93 837,93 56,6021715 56,5183785 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-27 0,0672 0,0671 835,84 835,84 56,168448 56,084864 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-28 0,0677 0,0676 835,45 835,45 56,559965 56,47642 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-01-31 0,0676 0,0675 838,84 838,84 56,705584 56,6217 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-01 0,06725 0,06715 838,17 838,17 56,3669325 56,2831155 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-02 0,0671 0,067 841,51 841,51 56,465321 56,38117 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-03 0,06695 0,06685 839,06 839,06 56,175067 56,091161 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-04 0,0671 0,067 836,37 836,37 56,120427 56,03679 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-07 0,0677 0,0676 840,75 840,75 56,918775 56,8347 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-08 0,06765 0,06755 842,01 842,01 56,9619765 56,8777755 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-09 0,06725 0,06715 842,37 842,37 56,6493825 56,5651455 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-10 0,06715 0,06705 844,82 844,82 56,729663 56,645181 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-14 0,0671 0,067 850,21 850,21 57,049091 56,96407 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-15 0,0667 0,0666 851,93 851,93 56,823731 56,738538 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-16 0,06635 0,06625 849,94 849,94 56,393519 56,308525 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-17 0,06615 0,06605 849,81 849,81 56,2149315 56,1299505 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-18 0,06615 0,06605 854,06 854,06 56,496069 56,410663 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-21 0,06605 0,06595 854,98 854,98 56,471429 56,385931 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-22 0,06605 0,06595 851,38 851,38 56,233649 56,148511 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-23 0,0658 0,0657 844,06 844,06 55,539148 55,454742 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-24 0,0655 0,0654 848,19 848,19 55,556445 55,471626 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-25 0,06545 0,06535 855,83 855,83 56,0140735 55,9284905 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-02-28 0,06545 0,06535 864,11 864,11 56,5559995 56,4695885 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-01 0,06565 0,06555 866,59 866,59 56,8916335 56,8049745 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-02 0,06585 0,06575 870,66 870,66 57,332961 57,245895 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-03 0,06575 0,06565 872,84 872,84 57,38923 57,301946 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-04 0,06545 0,06535 873,27 873,27 57,1555215 57,0681945 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-07 0,0652 0,0651 879,35 879,35 57,33362 57,245685 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-08 0,06505 0,06495 876,87 876,87 57,0403935 56,9527065 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-09 0,06465 0,06455 879,32 879,32 56,848038 56,760106 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-10 0,06485 0,06475 877,05 877,05 56,8766925 56,7889875 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-11 0,065 0,0649 878,87 878,87 57,12655 57,038663 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-14 0,0647 0,0646 873,54 873,54 56,518038 56,430684 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-15 0,06505 0,06495 873,82 873,82 56,841991 56,754609 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-16 0,06535 0,06525 877,56 877,56 57,348546 57,26079 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-18 0,0652 0,0651 880,35 880,35 57,39882 57,310785 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-22 0,06595 0,06585 880,96 880,96 58,099312 58,011216 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-23 0,06615 0,06605 875,85 875,85 57,9374775 57,8498925 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-24 0,0659 0,0658 871,34 871,34 57,421306 57,334172 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-29 0,06595 0,06585 867,42 867,42 57,206349 57,119607 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-30 0,06575 0,06565 861,78 861,78 56,662035 56,575857 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-03-31 0,06595 0,06585 872,76 872,76 57,558522 57,471246 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-01 0,06585 0,06575 875,8 875,8 57,67143 57,58385 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-04 0,06595 0,06585 875,06 875,06 57,710207 57,622701 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-05 0,06585 0,06575 879,04 879,04 57,884784 57,79688 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-06 0,06595 0,06585 884,28 884,28 58,318266 58,229838 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-07 0,06545 0,06535 884,28 884,28 57,876126 57,787698 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-08 0,0658 0,0657 886,43 886,43 58,327094 58,238451 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-11 0,06555 0,06545 878,38 878,38 57,577809 57,489971 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-12 0,06545 0,06535 870,78 870,78 56,992551 56,905473 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-13 0,0659 0,0658 868,98 868,98 57,265782 57,178884 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-14 0,06615 0,06605 862,42 862,42 57,049083 56,962841 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-15 0,06625 0,06615 850,99 850,99 56,3780875 56,2929885 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-18 0,0658 0,0657 822,6 822,6 54,12708 54,04482 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-19 0,06595 0,06585 836,44 836,44 55,163218 55,079574 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-20 0,0659 0,0658 840,55 840,55 55,392245 55,30819 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-21 0,0657 0,0656 832,5 832,5 54,69525 54,612 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-22 0,06585 0,06575 838,31 838,31 55,2027135 55,1188825 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-25 0,0666 0,0665 839,47 839,47 55,908702 55,824755 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-26 0,0664 0,0663 838,91 838,91 55,703624 55,619733 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-27 0,06675 0,06665 839,73 839,73 56,0519775 55,9680045 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-04-28 0,0669 0,0668 842,31 842,31 56,350539 56,266308 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-06 0,0677 0,0676 855,77 855,77 57,935629 57,850052 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-09 0,06805 0,06795 856,73 856,73 58,3004765 58,2148035 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-10 0,0678 0,0677 854,95 854,95 57,96561 57,880115 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-11 0,06765 0,06755 852,84 852,84 57,694626 57,609342 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-12 0,06815 0,06805 850,04 850,04 57,930226 57,845222 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-13 0,068 0,0679 845,19 845,19 57,47292 57,388401 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-16 0,06795 0,06785 836,05 836,05 56,8095975 56,7259925 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-17 0,06825 0,06815 827,88 827,88 56,50281 56,420022 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-18 0,06785 0,06775 825,09 825,09 55,9823565 55,8998475 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-19 0,06775 0,06765 839,61 839,61 56,8835775 56,7996165 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-20 0,0677 0,0676 837,91 837,91 56,726507 56,642716 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-23 0,06775 0,06765 843,21 843,21 57,1274775 57,0431565 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-24 0,0679 0,0678 841,66 841,66 57,148714 57,064548 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-25 0,06795 0,06785 833,66 833,66 56,647197 56,563831 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-26 0,06785 0,06775 833,55 833,55 56,5563675 56,4730125 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-27 0,06805 0,06795 838,59 838,59 57,0660495 56,9821905 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-30 0,068 0,0679 845,93 845,93 57,52324 57,438647 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-05-31 0,06835 0,06825 849,33 849,33 58,0517055 57,9667725 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-01 0,06855 0,06845 852,18 852,18 58,416939 58,331721 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-02 0,069 0,0689 852,53 852,53 58,82457 58,739317 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-03 0,06895 0,06885 851,84 851,84 58,734368 58,649184 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-07 0,06975 0,06965 848,12 848,12 59,15637 59,071558 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-08 0,0696 0,0695 852,64 852,64 59,343744 59,25848 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-09 0,0702 0,0701 847,57 847,57 59,499414 59,414657 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-10 0,0701 0,07 855,19 855,19 59,948819 59,8633 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-13 0,07035 0,07025 855,11 855,11 60,1569885 60,0714775 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-14 0,0701 0,07 855,08 855,08 59,941108 59,8556 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-15 0,07045 0,07035 860,5 860,5 60,622225 60,536175 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-16 0,07025 0,07015 862,49 862,49 60,5899225 60,5036735 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-17 0,0702 0,0701 872,18 872,18 61,227036 61,139818 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-20 0,06935 0,06925 870,48 870,48 60,367788 60,28074 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-21 0,06995 0,06985 868,86 868,86 60,776757 60,689871 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-22 0,07015 0,07005 871,49 871,49 61,1350235 61,0478745 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-23 0,0711 0,071 873,12 873,12 62,078832 61,99152 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-27 0,07085 0,07075 863,82 863,82 61,201647 61,115265 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-28 0,0707 0,0706 869,91 869,91 61,502637 61,415646 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-29 0,0711 0,071 874,32 874,32 62,164152 62,07672 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-06-30 0,0709 0,0708 876,71 876,71 62,158739 62,071068 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-01 0,07065 0,07055 879,22 879,22 62,116893 62,028971 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-04 0,07125 0,07115 883,07 883,07 62,9187375 62,8304305 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-05 0,07115 0,07105 881,22 881,22 62,698803 62,610681 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-06 0,07075 0,07065 880,83 880,83 62,3187225 62,2306395 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-07 0,07025 0,07015 877,45 877,45 61,6408625 61,5531175 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-08 0,07045 0,07035 876,8 876,8 61,77056 61,68288 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-11 0,0705 0,0704 881,33 881,33 62,133765 62,045632 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-12 0,0699 0,0698 880,74 880,74 61,563726 61,475652 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-13 0,06915 0,06905 880,79 880,79 60,9066285 60,8185495 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-14 0,0694 0,0693 884,73 884,73 61,400262 61,311789 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-15 0,0694 0,0693 886,21 886,21 61,502974 61,414353 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-19 0,06995 0,06985 884,81 884,81 61,8924595 61,8039785 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-20 0,0691 0,069 888,41 888,41 61,389131 61,30029 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-21 0,06925 0,06915 885,83 885,83 61,3437275 61,2551445 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-22 0,06995 0,06985 881,11 881,11 61,6336445 61,5455335 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-25 0,07005 0,06995 884,02 884,02 61,925601 61,837199 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-26 0,06995 0,06985 883,54 883,54 61,803623 61,715269 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-27 0,07015 0,07005 890,9 890,9 62,496635 62,407545 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-28 0,0697 0,0696 892,8 892,8 62,22816 62,13888 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-07-29 0,06915 0,06905 895,85 895,85 61,9480275 61,8584425 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-02 0,0691 0,069 900,01 900,01 62,190691 62,10069 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-03 0,06885 0,06875 901,16 901,16 62,044866 61,95475 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-04 0,0686 0,0685 895,47 895,47 61,429242 61,339695 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-05 0,0678 0,0677 884,54 884,54 59,971812 59,883358 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-08 0,0674 0,0673 886,37 886,37 59,741338 59,652701 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-09 0,06745 0,06735 897,81 897,81 60,5572845 60,4675035 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-10 0,06805 0,06795 912,79 912,79 62,1153595 62,0240805 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-11 0,06825 0,06815 924,56 924,56 63,10122 63,008764 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-12 0,06805 0,06795 924,03 924,03 62,8802415 62,7878385 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-15 0,06855 0,06845 926 926 63,4773 63,3847 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-16 0,06895 0,06885 928,26 928,26 64,003527 63,910701 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-17 0,06915 0,06905 925,17 925,17 63,9755055 63,8829885 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-18 0,0691 0,069 926,65 926,65 64,031515 63,93885 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-19 0,06965 0,06955 925,45 925,45 64,4575925 64,3650475 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-22 0,07 0,0699 938,09 938,09 65,6663 65,572491 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-23 0,06965 0,06955 939,93 939,93 65,4661245 65,3721315 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-24 0,0694 0,0693 942,03 942,03 65,376882 65,282679 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-25 0,06905 0,06895 936,01 936,01 64,6314905 64,5378895 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-26 0,069 0,0689 939,63 939,63 64,83447 64,740507 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-29 0,0687 0,0686 931,02 931,02 63,961074 63,867972 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-30 0,0688 0,0687 940,68 940,68 64,718784 64,624716 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-08-31 0,0688 0,0687 941,03 941,03 64,742864 64,648761 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-01 0,06825 0,06815 944,48 944,48 64,46076 64,366312 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-02 0,0678 0,0677 947,38 947,38 64,232364 64,137626 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-05 0,06775 0,06765 952,21 952,21 64,5122275 64,4170065 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-06 0,06825 0,06815 949,88 949,88 64,82931 64,734322 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-07 0,0678 0,0677 948,26 948,26 64,292028 64,197202 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-08 0,068 0,0679 943,4 943,4 64,1512 64,05686 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-09 0,0681 0,068 955,86 955,86 65,094066 64,99848 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-12 0,06875 0,06865 967,3 967,3 66,501875 66,405145 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-13 0,0685 0,0684 970,53 970,53 66,481305 66,384252 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-14 0,0688 0,0687 969,34 969,34 66,690592 66,593658 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-15 0,06925 0,06915 981,09 981,09 67,9404825 67,8423735 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-16 0,0688 0,0687 980,31 980,31 67,445328 67,347297 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-20 0,0691 0,069 998,26 998,26 68,979766 68,87994 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-21 0,06865 0,06855 1003,86 1003,86 68,914989 68,814603 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-22 0,06875 0,06865 1003,73 1003,73 69,0064375 68,9060645 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-26 0,06935 0,06925 1027,66 1027,66 71,268221 71,165455 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-27 0,0693 0,0692 1026,2 1026,2 71,11566 71,01304 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-28 0,06915 0,06905 1044,2 1044,2 72,20643 72,10201 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-29 0,06895 0,06885 1063,38 1063,38 73,320051 73,213713 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-09-30 0,06865 0,06855 1049,66 1049,66 72,059159 71,954193 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-03 0,06835 0,06825 1050,82 1050,82 71,823547 71,718465 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-04 0,0685 0,0684 1058,97 1058,97 72,539445 72,433548 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-05 0,06845 0,06835 1047,99 1047,99 71,7349155 71,6301165 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-06 0,06785 0,06775 1017,51 1017,51 69,0380535 68,9363025 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-07 0,06775 0,06765 1020,55 1020,55 69,1422625 69,0402075 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-11 0,0681 0,068 1044,67 1044,67 71,142027 71,03756 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-12 0,0681 0,068 1044,35 1044,35 71,120235 71,0158 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-13 0,0682 0,0681 1042,53 1042,53 71,100546 70,996293 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-14 0,0684 0,0683 1034,37 1034,37 70,750908 70,647471 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-17 0,0686 0,0685 1028,73 1028,73 70,570878 70,468005 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-18 0,0684 0,0683 1029,78 1029,78 70,436952 70,333974 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-19 0,06865 0,06855 1022,03 1022,03 70,1623595 70,0601565 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-20 0,0686 0,0685 1024,48 1024,48 70,279328 70,17688 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-21 0,06845 0,06835 1024,68 1024,68 70,139346 70,036878 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-24 0,0692 0,0691 1017,92 1017,92 70,440064 70,338272 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-25 0,0691 0,069 1030,96 1030,96 71,239336 71,13624 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-26 0,06825 0,06815 1040,09 1040,09 70,9861425 70,8821335 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-27 0,06825 0,06815 1051,56 1051,56 71,76897 71,663814 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-10-28 0,06795 0,06785 1046,94 1046,94 71,139573 71,034879 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-01 0,0683 0,0682 1079,22 1079,22 73,710726 73,602804 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-02 0,06825 0,06815 1081,59 1081,59 73,8185175 73,7103585 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-04 0,06825 0,06815 1095,83 1095,83 74,7903975 74,6808145 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-07 0,069 0,0689 1094,76 1094,76 75,53844 75,428964 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-08 0,0693 0,0692 1095,76 1095,76 75,936168 75,826592 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-09 0,0692 0,0691 1088,54 1088,54 75,326968 75,218114 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-10 0,06945 0,06935 1085,28 1085,28 75,372696 75,264168 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-11 0,0699 0,0698 1092,83 1092,83 76,388817 76,279534 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-14 0,0689 0,0688 1081,76 1081,76 74,533264 74,425088 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-15 0,0689 0,0688 1076,21 1076,21 74,150869 74,043248 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-16 0,06895 0,06885 1084,76 1084,76 74,794202 74,685726 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-17 0,06955 0,06945 1097,32 1097,32 76,318606 76,208874 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-18 0,0689 0,0688 1110,26 1110,26 76,496914 76,385888 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-21 0,0682 0,0681 1107,78 1107,78 75,550596 75,439818 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-22 0,06845 0,06835 1105,98 1105,98 75,704331 75,593733 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-24 0,06785 0,06775 1101,77 1101,77 74,7550945 74,6449175 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-25 0,06775 0,06765 1108,4 1108,4 75,0941 74,98326 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-28 0,0677 0,0676 1113,92 1113,92 75,412384 75,300992 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-29 0,06735 0,06725 1116,84 1116,84 75,219174 75,10749 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-11-30 0,0677 0,0676 1109,61 1109,61 75,120597 75,009636 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-01 0,06745 0,06735 1124,23 1124,23 75,8293135 75,7168905 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-02 0,0672 0,0671 1139,04 1139,04 76,543488 76,429584 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-05 0,06635 0,06625 1148,38 1148,38 76,195013 76,080175 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-06 0,066 0,0659 1147,78 1147,78 75,75348 75,638702 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-07 0,06635 0,06625 1152,55 1152,55 76,4716925 76,3564375 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-08 0,06635 0,06625 1129,39 1129,39 74,9350265 74,8220875 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-12 0,06595 0,06585 1161,16 1161,16 76,578502 76,462386 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-13 0,06585 0,06575 1168,75 1168,75 76,9621875 76,8453125 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-14 0,0662 0,0661 1150,64 1150,64 76,172368 76,057304 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-15 0,06745 0,06735 1135,86 1135,86 76,613757 76,500171 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-16 0,06805 0,06795 1133,21 1133,21 77,1149405 77,0016195 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-19 0,06765 0,06755 1138,11 1138,11 76,9931415 76,8793305 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-20 0,06735 0,06725 1152,34 1152,34 77,610099 77,494865 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-21 0,06795 0,06785 1163,74 1163,74 79,076133 78,959759 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-22 0,06795 0,06785 1165,86 1165,86 79,220187 79,103601 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-29 0,0674 0,0673 1177,85 1177,85 79,38709 79,269305 365981 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Equity Alpha Fund JPY 2005-12-30 0,06785 0,06775 1169,78 1169,78 79,369573 79,252595 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-04 0,06545 0,06535 1529,51 1529,51 100,1064295 99,9534785 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-05 0,0653 0,0652 1521,32 1521,32 99,342196 99,190064 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-07 0,06565 0,06555 1533,55 1533,55 100,6775575 100,5242025 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-11 0,06651 0,06641 1551,23 1551,23 103,1723073 103,0171843 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-12 0,06685 0,06675 1544,33 1544,33 103,2384605 103,0840275 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-13 0,06685 0,06675 1542,52 1542,52 103,117462 102,96321 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-14 0,0672 0,0671 1549,54 1549,54 104,129088 103,974134 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-17 0,0679 0,0678 1560,07 1560,07 105,928753 105,772746 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-18 0,0679 0,0678 1555,28 1555,28 105,603512 105,447984 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-19 0,06745 0,06735 1556,57 1556,57 104,9906465 104,8349895 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-20 0,06765 0,06755 1545,85 1545,85 104,5767525 104,4221675 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-21 0,06725 0,06715 1550,63 1550,63 104,2798675 104,1248045 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-24 0,06745 0,06735 1561,62 1561,62 105,331269 105,175107 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-25 0,0674 0,0673 1565,52 1565,52 105,516048 105,359496 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-26 0,06755 0,06745 1575,97 1575,97 106,4567735 106,2991765 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-27 0,0672 0,0671 1577,77 1577,77 106,026144 105,868367 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-28 0,0677 0,0676 1573,39 1573,39 106,518503 106,361164 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-01-31 0,0676 0,0675 1585,92 1585,92 107,208192 107,0496 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-01 0,06725 0,06715 1592,03 1592,03 107,0640175 106,9048145 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-02 0,0671 0,067 1607,61 1607,61 107,870631 107,70987 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-03 0,06695 0,06685 1608,68 1608,68 107,701126 107,540258 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-04 0,0671 0,067 1605,08 1605,08 107,700868 107,54036 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-07 0,0677 0,0676 1617,1 1617,1 109,47767 109,31596 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-08 0,06765 0,06755 1615,2 1615,2 109,26828 109,10676 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-09 0,06725 0,06715 1616,61 1616,61 108,7170225 108,5553615 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-10 0,06715 0,06705 1619,41 1619,41 108,7433815 108,5814405 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-14 0,0671 0,067 1627,79 1627,79 109,224709 109,06193 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-15 0,0667 0,0666 1624,37 1624,37 108,345479 108,183042 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-16 0,06635 0,06625 1615,86 1615,86 107,212311 107,050725 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-17 0,06615 0,06605 1614,89 1614,89 106,8249735 106,6634845 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-18 0,06615 0,06605 1621,39 1621,39 107,2549485 107,0928095 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-21 0,06605 0,06595 1626,27 1626,27 107,4151335 107,2525065 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-22 0,06605 0,06595 1619,66 1619,66 106,978543 106,816577 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-23 0,0658 0,0657 1613,19 1613,19 106,147902 105,986583 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-24 0,0655 0,0654 1624,87 1624,87 106,428985 106,266498 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-25 0,06545 0,06535 1637,67 1637,67 107,1855015 107,0217345 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-02-28 0,06545 0,06535 1656,62 1656,62 108,425779 108,260117 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-01 0,06565 0,06555 1668,56 1668,56 109,540964 109,374108 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-02 0,06585 0,06575 1678,14 1678,14 110,505519 110,337705 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-03 0,06575 0,06565 1679,64 1679,64 110,43633 110,268366 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-04 0,06545 0,06535 1683,63 1683,63 110,1935835 110,0252205 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-07 0,0652 0,0651 1694,64 1694,64 110,490528 110,321064 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-08 0,06505 0,06495 1689,73 1689,73 109,9169365 109,7479635 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-09 0,06465 0,06455 1697,14 1697,14 109,720101 109,550387 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-10 0,06485 0,06475 1696,34 1696,34 110,007649 109,838015 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-11 0,065 0,0649 1710,05 1710,05 111,15325 110,982245 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-14 0,0647 0,0646 1713,45 1713,45 110,860215 110,68887 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-15 0,06505 0,06495 1711,91 1711,91 111,3597455 111,1885545 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-16 0,06535 0,06525 1715,91 1715,91 112,1347185 111,9631275 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-18 0,0652 0,0651 1731,33 1731,33 112,882716 112,709583 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-22 0,06595 0,06585 1739,81 1739,81 114,7404695 114,5664885 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-23 0,06615 0,06605 1727,88 1727,88 114,299262 114,126474 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-24 0,0659 0,0658 1723,81 1723,81 113,599079 113,426698 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-29 0,06595 0,06585 1705,28 1705,28 112,463216 112,292688 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-30 0,06575 0,06565 1688,94 1688,94 111,047805 110,878911 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-03-31 0,06595 0,06585 1716,83 1716,83 113,2249385 113,0532555 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-01 0,06585 0,06575 1721,44 1721,44 113,356824 113,18468 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-04 0,06595 0,06585 1720,14 1720,14 113,443233 113,271219 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-05 0,06585 0,06575 1727,86 1727,86 113,779581 113,606795 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-06 0,06595 0,06585 1732,34 1732,34 114,247823 114,074589 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-07 0,06545 0,06535 1729,47 1729,47 113,1938115 113,0208645 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-08 0,0658 0,0657 1739,31 1739,31 114,446598 114,272667 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-11 0,06555 0,06545 1722,91 1722,91 112,9367505 112,7644595 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-12 0,06545 0,06535 1707,66 1707,66 111,766347 111,595581 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-13 0,0659 0,0658 1709,27 1709,27 112,640893 112,469966 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-14 0,06615 0,06605 1694,43 1694,43 112,0865445 111,9171015 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-15 0,06625 0,06615 1670,11 1670,11 110,6447875 110,4777765 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-18 0,0658 0,0657 1608,89 1608,89 105,864962 105,704073 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-19 0,06595 0,06585 1643,02 1643,02 108,357169 108,192867 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-20 0,0659 0,0658 1653,57 1653,57 108,970263 108,804906 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-21 0,0657 0,0656 1637,51 1637,51 107,584407 107,420656 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-22 0,06585 0,06575 1662,7 1662,7 109,488795 109,322525 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-25 0,0666 0,0665 1666,09 1666,09 110,961594 110,794985 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-26 0,0664 0,0663 1669,07 1669,07 110,826248 110,659341 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-27 0,06675 0,06665 1669,11 1669,11 111,4130925 111,2461815 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-04-28 0,0669 0,0668 1669,03 1669,03 111,658107 111,491204 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-06 0,0677 0,0676 1694,43 1694,43 114,712911 114,543468 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-09 0,06805 0,06795 1702,66 1702,66 115,866013 115,695747 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-10 0,0678 0,0677 1702,67 1702,67 115,441026 115,270759 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-11 0,06765 0,06755 1701,03 1701,03 115,0746795 114,9045765 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-12 0,06815 0,06805 1694,58 1694,58 115,485627 115,316169 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-13 0,068 0,0679 1684,61 1684,61 114,55348 114,385019 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-16 0,06795 0,06785 1662,79 1662,79 112,9865805 112,8203015 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-17 0,06825 0,06815 1636,76 1636,76 111,70887 111,545194 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-18 0,06785 0,06775 1636,91 1636,91 111,0643435 110,9006525 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-19 0,06775 0,06765 1660,97 1660,97 112,5307175 112,3646205 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-20 0,0677 0,0676 1656,96 1656,96 112,176192 112,010496 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-23 0,06775 0,06765 1668,64 1668,64 113,05036 112,883496 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-24 0,0679 0,0678 1662,1 1662,1 112,85659 112,69038 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-25 0,06795 0,06785 1641,95 1641,95 111,5705025 111,4063075 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-26 0,06785 0,06775 1639,94 1639,94 111,269929 111,105935 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-27 0,06805 0,06795 1649,05 1649,05 112,2178525 112,0529475 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-30 0,068 0,0679 1662,83 1662,83 113,07244 112,906157 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-05-31 0,06835 0,06825 1674,39 1674,39 114,4445565 114,2771175 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-01 0,06855 0,06845 1681,69 1681,69 115,2798495 115,1116805 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-02 0,069 0,0689 1678,34 1678,34 115,80546 115,637626 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-03 0,06895 0,06885 1677,3 1677,3 115,649835 115,482105 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-07 0,06975 0,06965 1672,83 1672,83 116,6798925 116,5126095 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-08 0,0696 0,0695 1683,3 1683,3 117,15768 116,98935 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-09 0,0702 0,0701 1678,85 1678,85 117,85527 117,687385 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-10 0,0701 0,07 1693,78 1693,78 118,733978 118,5646 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-13 0,07035 0,07025 1693,81 1693,81 119,1595335 118,9901525 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-14 0,0701 0,07 1691,43 1691,43 118,569243 118,4001 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-15 0,07045 0,07035 1700,89 1700,89 119,8277005 119,6576115 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-16 0,07025 0,07015 1708,53 1708,53 120,0242325 119,8533795 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-17 0,0702 0,0701 1726,39 1726,39 121,192578 121,019939 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-20 0,06935 0,06925 1731,37 1731,37 120,0705095 119,8973725 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-21 0,06995 0,06985 1727,87 1727,87 120,8645065 120,6917195 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-22 0,07015 0,07005 1730,62 1730,62 121,402993 121,229931 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-23 0,0711 0,071 1732,76 1732,76 123,199236 123,02596 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-27 0,07085 0,07075 1718,69 1718,69 121,7691865 121,5973175 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-28 0,0707 0,0706 1733,98 1733,98 122,592386 122,418988 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-29 0,0711 0,071 1738,56 1738,56 123,611616 123,43776 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-06-30 0,0709 0,0708 1737,36 1737,36 123,178824 123,005088 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-01 0,07065 0,07055 1745,95 1745,95 123,3513675 123,1767725 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-04 0,07125 0,07115 1755,96 1755,96 125,11215 124,936554 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-05 0,07115 0,07105 1746,98 1746,98 124,297627 124,122929 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-06 0,07075 0,07065 1746,26 1746,26 123,547895 123,373269 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-07 0,07025 0,07015 1740,51 1740,51 122,2708275 122,0967765 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-08 0,07045 0,07035 1739,43 1739,43 122,5428435 122,3689005 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-11 0,0705 0,0704 1747,06 1747,06 123,16773 122,993024 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-12 0,0699 0,0698 1749,7 1749,7 122,30403 122,12906 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-13 0,06915 0,06905 1751,83 1751,83 121,1390445 120,9638615 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-14 0,0694 0,0693 1756,81 1756,81 121,922614 121,746933 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-15 0,0694 0,0693 1758,7 1758,7 122,05378 121,87791 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-19 0,06995 0,06985 1756,82 1756,82 122,889559 122,713877 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-20 0,0691 0,069 1770,48 1770,48 122,340168 122,16312 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-21 0,06925 0,06915 1766,93 1766,93 122,3599025 122,1832095 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-22 0,06995 0,06985 1755,35 1755,35 122,7867325 122,6111975 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-25 0,07005 0,06995 1767,19 1767,19 123,7916595 123,6149405 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-26 0,06995 0,06985 1768,17 1768,17 123,6834915 123,5066745 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-27 0,07015 0,07005 1779,9 1779,9 124,859985 124,681995 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-28 0,0697 0,0696 1785,21 1785,21 124,429137 124,250616 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-07-29 0,06915 0,06905 1790,86 1790,86 123,837969 123,658883 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-02 0,0691 0,069 1787,99 1787,99 123,550109 123,37131 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-03 0,06885 0,06875 1788,55 1788,55 123,1416675 122,9628125 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-04 0,0686 0,0685 1778,09 1778,09 121,976974 121,799165 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-05 0,0678 0,0677 1754,29 1754,29 118,940862 118,765433 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-08 0,0674 0,0673 1760,7 1760,7 118,67118 118,49511 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-09 0,06745 0,06735 1788,9 1788,9 120,661305 120,482415 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-10 0,06805 0,06795 1820,28 1820,28 123,870054 123,688026 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-11 0,06825 0,06815 1837,52 1837,52 125,41074 125,226988 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-12 0,06805 0,06795 1832,89 1832,89 124,7281645 124,5448755 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-15 0,06855 0,06845 1843,22 1843,22 126,352731 126,168409 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-16 0,06895 0,06885 1850,77 1850,77 127,6105915 127,4255145 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-17 0,06915 0,06905 1848,11 1848,11 127,7968065 127,6119955 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-18 0,0691 0,069 1848,13 1848,13 127,705783 127,52097 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-19 0,06965 0,06955 1844,67 1844,67 128,4812655 128,2967985 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-22 0,07 0,0699 1869,12 1869,12 130,8384 130,651488 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-23 0,06965 0,06955 1875,16 1875,16 130,604894 130,417378 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-24 0,0694 0,0693 1877,17 1877,17 130,275598 130,087881 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-25 0,06905 0,06895 1867,79 1867,79 128,9708995 128,7841205 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-26 0,069 0,0689 1874,94 1874,94 129,37086 129,183366 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-29 0,0687 0,0686 1860,38 1860,38 127,808106 127,622068 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-30 0,0688 0,0687 1871,89 1871,89 128,786032 128,598843 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-08-31 0,0688 0,0687 1871,26 1871,26 128,742688 128,555562 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-01 0,06825 0,06815 1881,57 1881,57 128,4171525 128,2289955 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-02 0,0678 0,0677 1887,31 1887,31 127,959618 127,770887 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-05 0,06775 0,06765 1896,31 1896,31 128,4750025 128,2853715 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-06 0,06825 0,06815 1887,14 1887,14 128,797305 128,608591 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-07 0,0678 0,0677 1881,59 1881,59 127,571802 127,383643 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-08 0,068 0,0679 1865,8 1865,8 126,8744 126,68782 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-09 0,0681 0,068 1890,57 1890,57 128,747817 128,55876 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-12 0,06875 0,06865 1909,47 1909,47 131,2760625 131,0851155 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-13 0,0685 0,0684 1916,21 1916,21 131,260385 131,068764 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-14 0,0688 0,0687 1914,76 1914,76 131,735488 131,544012 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-15 0,06925 0,06915 1932,78 1932,78 133,845015 133,651737 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-16 0,0688 0,0687 1935,02 1935,02 133,129376 132,935874 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-20 0,0691 0,069 1965,23 1965,23 135,797393 135,60087 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-21 0,06865 0,06855 1972,68 1972,68 135,424482 135,227214 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-22 0,06875 0,06865 1981,08 1981,08 136,19925 136,001142 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-26 0,06935 0,06925 2033,84 2033,84 141,046804 140,84342 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-27 0,0693 0,0692 2035,41 2035,41 141,053913 140,850372 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-28 0,06915 0,06905 2062,92 2062,92 142,650918 142,444626 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-29 0,06895 0,06885 2089,25 2089,25 144,0537875 143,8448625 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-09-30 0,06865 0,06855 2066,79 2066,79 141,8851335 141,6784545 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-03 0,06835 0,06825 2057,21 2057,21 140,6103035 140,4045825 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-04 0,0685 0,0684 2068,78 2068,78 141,71143 141,504552 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-05 0,06845 0,06835 2045,08 2045,08 139,985726 139,781218 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-06 0,06785 0,06775 1996,7 1996,7 135,476095 135,276425 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-07 0,06775 0,06765 2001,03 2001,03 135,5697825 135,3696795 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-11 0,0681 0,068 2042,4 2042,4 139,08744 138,8832 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-12 0,0681 0,068 2050,58 2050,58 139,644498 139,43944 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-13 0,0682 0,0681 2044,41 2044,41 139,428762 139,224321 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-14 0,0684 0,0683 2033,69 2033,69 139,104396 138,901027 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-17 0,0686 0,0685 2028,77 2028,77 139,173622 138,970745 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-18 0,0684 0,0683 2024,35 2024,35 138,46554 138,263105 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-19 0,06865 0,06855 2012,18 2012,18 138,136157 137,934939 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-20 0,0686 0,0685 2020,13 2020,13 138,580918 138,378905 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-21 0,06845 0,06835 2015,31 2015,31 137,9479695 137,7464385 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-24 0,0692 0,0691 2010,19 2010,19 139,105148 138,904129 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-25 0,0691 0,069 2037,96 2037,96 140,823036 140,61924 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-26 0,06825 0,06815 2063,38 2063,38 140,825685 140,619347 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-27 0,06825 0,06815 2095,84 2095,84 143,04108 142,831496 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-10-28 0,06795 0,06785 2100,8 2100,8 142,74936 142,53928 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-01 0,0683 0,0682 2171,1 2171,1 148,28613 148,06902 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-02 0,06825 0,06815 2171,65 2171,65 148,2151125 147,9979475 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-04 0,06825 0,06815 2190,79 2190,79 149,5214175 149,3023385 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-07 0,069 0,0689 2192,86 2192,86 151,30734 151,088054 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-08 0,0693 0,0692 2190,91 2190,91 151,830063 151,610972 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-09 0,0692 0,0691 2182,62 2182,62 151,037304 150,819042 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-10 0,06945 0,06935 2170,61 2170,61 150,7488645 150,5318035 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-11 0,0699 0,0698 2187,07 2187,07 152,876193 152,657486 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-14 0,0689 0,0688 2163,17 2163,17 149,042413 148,826096 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-15 0,0689 0,0688 2139,3 2139,3 147,39777 147,18384 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-16 0,06895 0,06885 2160,55 2160,55 148,9699225 148,7538675 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-17 0,06955 0,06945 2185,5 2185,5 152,001525 151,782975 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-18 0,0689 0,0688 2198,49 2198,49 151,475961 151,256112 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-21 0,0682 0,0681 2192,18 2192,18 149,506676 149,287458 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-22 0,06845 0,06835 2200,64 2200,64 150,633808 150,413744 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-24 0,06785 0,06775 2186,79 2186,79 148,3737015 148,1550225 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-25 0,06775 0,06765 2196,76 2196,76 148,83049 148,610814 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-28 0,0677 0,0676 2207,49 2207,49 149,447073 149,226324 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-29 0,06735 0,06725 2229,06 2229,06 150,127191 149,904285 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-11-30 0,0677 0,0676 2234,74 2234,74 151,291898 151,068424 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-01 0,06745 0,06735 2267,63 2267,63 152,9516435 152,7248805 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-02 0,0672 0,0671 2295,79 2295,79 154,277088 154,047509 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-05 0,06635 0,06625 2324,84 2324,84 154,253134 154,02065 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-06 0,066 0,0659 2322,45 2322,45 153,2817 153,049455 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-07 0,06635 0,06625 2320,04 2320,04 153,934654 153,70265 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-08 0,06635 0,06625 2279,06 2279,06 151,215631 150,987725 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-12 0,06595 0,06585 2352,53 2352,53 155,1493535 154,9141005 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-13 0,06585 0,06575 2366,63 2366,63 155,8425855 155,6059225 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-14 0,0662 0,0661 2337,15 2337,15 154,71933 154,485615 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-15 0,06745 0,06735 2317,41 2317,41 156,3093045 156,0775635 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-16 0,06805 0,06795 2312,05 2312,05 157,3350025 157,1037975 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-19 0,06765 0,06755 2315,33 2315,33 156,6320745 156,4005415 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-20 0,06735 0,06725 2347,42 2347,42 158,098737 157,863995 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-21 0,06795 0,06785 2371,13 2371,13 161,1182835 160,8811705 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-22 0,06795 0,06785 2370,69 2370,69 161,0883855 160,8513165 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-29 0,0674 0,0673 2406,63 2406,63 162,206862 161,966199 652628 AXA Rosenberg Management Ireland Limited AXA Rosenberg Japan Small Cap Alpha Fund JPY 2005-12-30 0,06785 0,06775 2390,56 2390,56 162,199496 161,96044 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-04 6,728 6,718 17,33 17,33 116,59624 116,42294 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-05 6,828 6,818 17,13 17,13 116,96364 116,79234 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-07 6,87 6,86 17,04 17,04 117,0648 116,8944 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-10 6,96091 6,95091 17,09 17,09 118,9619519 118,7910519 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-11 6,96091 6,95091 17,17 17,17 119,5188247 119,3471247 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-12 6,913 6,903 17,25 17,25 119,24925 119,07675 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-13 6,843 6,833 17,25 17,25 118,04175 117,86925 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-14 6,915 6,905 17,1 17,1 118,2465 118,0755 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-17 6,915 6,905 17,19 17,19 118,86885 118,69695 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-18 6,968 6,958 17,11 17,11 119,22248 119,05138 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-19 6,91 6,9 17,17 17,17 118,6447 118,473 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-20 6,96 6,95 17,08 17,08 118,8768 118,706 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-24 6,933 6,923 17,2 17,2 119,2476 119,0756 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-25 6,95 6,94 17,21 17,21 119,6095 119,4374 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-27 6,93 6,92 17,56 17,56 121,6908 121,5152 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-28 6,985 6,975 17,57 17,57 122,72645 122,55075 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-01-31 6,998 6,988 17,62 17,62 123,30476 123,12856 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-01 6,993 6,983 17,6 17,6 123,0768 122,9008 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-02 6,953 6,943 17,69 17,69 122,99857 122,82167 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-03 6,968 6,958 17,7 17,7 123,3336 123,1566 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-04 7,01 7 17,79 17,79 124,7079 124,53 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-07 7,065 7,055 17,91 17,91 126,53415 126,35505 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-08 7,123 7,113 17,75 17,75 126,43325 126,25575 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-14 7,03 7,02 18,21 18,21 128,0163 127,8342 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-15 7,005 6,995 18,16 18,16 127,2108 127,0292 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-16 6,973 6,963 18,11 18,11 126,28103 126,09993 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-17 6,97 6,96 18,22 18,22 126,9934 126,8112 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-18 6,965 6,955 18,27 18,27 127,25055 127,06785 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-21 6,978 6,968 18,37 18,37 128,18586 128,00216 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-22 6,905 6,895 18,42 18,42 127,1901 127,0059 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-23 6,895 6,885 18,2 18,2 125,489 125,307 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-24 6,858 6,848 18,16 18,16 124,54128 124,35968 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-25 6,885 6,875 18,31 18,31 126,06435 125,88125 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-02-28 6,828 6,818 18,59 18,59 126,93252 126,74662 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-01 6,87 6,86 18,55 18,55 127,4385 127,253 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-02 6,888 6,878 18,45 18,45 127,0836 126,8991 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-03 6,903 6,893 18,51 18,51 127,77453 127,58943 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-04 6,9 6,89 18,66 18,66 128,754 128,5674 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-07 6,84 6,83 18,74 18,74 128,1816 127,9942 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-08 6,825 6,815 18,86 18,86 128,7195 128,5309 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-09 6,76 6,75 18,82 18,82 127,2232 127,035 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-10 6,745 6,735 18,71 18,71 126,19895 126,01185 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-11 6,765 6,755 18,68 18,68 126,3702 126,1834 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-15 6,815 6,805 18,67 18,67 127,23605 127,04935 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-16 6,81 6,8 18,83 18,83 128,2323 128,044 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-18 6,828 6,818 18,74 18,74 127,95672 127,76932 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-21 6,908 6,898 18,71 18,71 129,24868 129,06158 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-22 6,928 6,918 18,64 18,64 129,13792 128,95152 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-23 6,973 6,963 18,12 18,12 126,35076 126,16956 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-24 7,008 6,998 17,99 17,99 126,07392 125,89402 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-29 7,055 7,045 17,78 17,78 125,4379 125,2601 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-30 7,053 7,043 17,8 17,8 125,5434 125,3654 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-03-31 7,065 7,055 17,89 17,89 126,39285 126,21395 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-01 7,07 7,06 17,96 17,96 126,9772 126,7976 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-04 7,113 7,103 17,83 17,83 126,82479 126,64649 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-06 7,125 7,115 17,76 17,76 126,54 126,3624 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-07 7,083 7,073 17,93 17,93 126,99819 126,81889 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-08 7,153 7,143 18,09 18,09 129,39777 129,21687 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-11 7,098 7,088 18,08 18,08 128,33184 128,15104 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-12 7,048 7,038 18,08 18,08 127,42784 127,24704 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-13 7,075 7,065 18,17 18,17 128,55275 128,37105 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-14 7,12 7,11 17,9 17,9 127,448 127,269 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-15 7,17 7,16 17,64 17,64 126,4788 126,3024 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-18 7,08 7,07 17,26 17,26 122,2008 122,0282 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-19 7,068 7,058 17,53 17,53 123,90204 123,72674 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-20 7,043 7,033 17,65 17,65 124,30895 124,13245 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-21 7,025 7,015 17,69 17,69 124,27225 124,09535 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-22 7,023 7,013 17,86 17,86 125,43078 125,25218 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-26 7,035 7,025 17,8 17,8 125,223 125,045 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-27 7,085 7,075 17,79 17,79 126,04215 125,86425 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-28 7,085 7,075 17,85 17,85 126,46725 126,28875 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-04-29 7,08 7,07 17,78 17,78 125,8824 125,7046 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-03 7,178 7,168 17,7 17,7 127,0506 126,8736 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-04 7,11 7,1 17,8 17,8 126,558 126,38 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-06 7,085 7,075 17,79 17,79 126,04215 125,86425 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-09 7,168 7,158 17,79 17,79 127,51872 127,34082 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-10 7,178 7,168 17,81 17,81 127,84018 127,66208 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-11 7,15 7,14 17,8 17,8 127,27 127,092 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-12 7,243 7,233 17,76 17,76 128,63568 128,45808 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-13 7,265 7,255 17,59 17,59 127,79135 127,61545 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-17 7,313 7,303 17,29 17,29 126,44177 126,26887 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-18 7,3 7,29 17,38 17,38 126,874 126,7002 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-19 7,26 7,25 17,5 17,5 127,05 126,875 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-20 7,28 7,27 17,45 17,45 127,036 126,8615 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-24 7,295 7,285 17,78 17,78 129,7051 129,5273 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-25 7,298 7,288 17,67 17,67 128,95566 128,77896 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-26 7,33 7,32 17,64 17,64 129,3012 129,1248 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-27 7,338 7,328 17,77 17,77 130,39626 130,21856 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-30 7,338 7,328 17,88 17,88 131,20344 131,02464 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-05-31 7,403 7,393 17,66 17,66 130,73698 130,56038 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-01 7,428 7,418 17,69 17,69 131,40132 131,22442 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-02 7,473 7,463 17,85 17,85 133,39305 133,21455 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-03 7,438 7,428 17,91 17,91 133,21458 133,03548 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-07 7,448 7,438 18,13 18,13 135,03224 134,85094 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-08 7,435 7,425 18,21 18,21 135,39135 135,20925 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-09 7,523 7,513 18,16 18,16 136,61768 136,43608 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-10 7,525 7,515 18,13 18,13 136,42825 136,24695 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-14 7,663 7,653 18,14 18,14 139,00682 138,82542 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-15 7,693 7,683 18,22 18,22 140,16646 139,98426 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-16 7,678 7,668 18,32 18,32 140,66096 140,47776 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-17 7,643 7,633 18,55 18,55 141,77765 141,59215 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-20 7,543 7,533 18,53 18,53 139,77179 139,58649 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-21 7,648 7,638 18,52 18,52 141,64096 141,45576 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-22 7,608 7,598 18,55 18,55 141,1284 140,9429 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-23 7,73 7,72 18,49 18,49 142,9277 142,7428 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-27 7,73 7,72 18,36 18,36 141,9228 141,7392 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-28 7,76 7,75 18,37 18,37 142,5512 142,3675 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-29 7,833 7,823 18,26 18,26 143,03058 142,84798 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-06-30 7,823 7,813 18,33 18,33 143,39559 143,21229 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-04 7,945 7,935 18,12 18,12 143,9634 143,7822 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-05 7,963 7,953 17,95 17,95 142,93585 142,75635 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-06 7,895 7,885 17,93 17,93 141,55735 141,37805 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-07 7,878 7,868 17,76 17,76 139,91328 139,73568 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-08 7,913 7,903 17,77 17,77 140,61401 140,43631 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-11 7,89 7,88 17,94 17,94 141,5466 141,3672 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-12 7,77 7,76 18,11 18,11 140,7147 140,5336 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-13 7,703 7,693 18,05 18,05 139,03915 138,85865 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-14 7,76 7,75 18,26 18,26 141,6976 141,515 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-15 7,76 7,75 18,21 18,21 141,3096 141,1275 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-18 7,78 7,77 18,3 18,3 142,374 142,191 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-19 7,878 7,868 18,26 18,26 143,85228 143,66968 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-20 7,818 7,808 18,42 18,42 144,00756 143,82336 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-21 7,775 7,765 18,67 18,67 145,15925 144,97255 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-22 7,758 7,748 18,9 18,9 146,6262 146,4372 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-25 7,838 7,828 18,81 18,81 147,43278 147,24468 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-26 7,818 7,808 18,71 18,71 146,27478 146,08768 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-27 7,905 7,895 18,77 18,77 148,37685 148,18915 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-28 7,848 7,838 18,75 18,75 147,15 146,9625 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-07-29 7,748 7,738 18,88 18,88 146,28224 146,09344 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-02 7,7 7,69 19,03 19,03 146,531 146,3407 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-03 7,685 7,675 19,11 19,11 146,86035 146,66925 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-04 7,618 7,608 19,07 19,07 145,27526 145,08456 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-05 7,548 7,538 18,95 18,95 143,0346 142,8451 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-08 7,558 7,548 19,04 19,04 143,90432 143,71392 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-10 7,558 7,548 19 19 143,602 143,412 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-11 7,523 7,513 19,15 19,15 144,06545 143,87395 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-12 7,46 7,45 19,11 19,11 142,5606 142,3695 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-15 7,508 7,498 18,99 18,99 142,57692 142,38702 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-16 7,523 7,513 19,13 19,13 143,91499 143,72369 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-17 7,605 7,595 19,08 19,08 145,1034 144,9126 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-18 7,61 7,6 18,79 18,79 142,9919 142,804 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-19 7,698 7,688 18,71 18,71 144,02958 143,84248 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-22 7,69 7,68 18,9 18,9 145,341 145,152 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-23 7,663 7,653 18,77 18,77 143,83451 143,64681 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-24 7,673 7,663 18,66 18,66 143,17818 142,99158 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-25 7,588 7,578 18,7 18,7 141,8956 141,7086 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-26 7,578 7,568 18,78 18,78 142,31484 142,12704 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-29 7,573 7,563 18,5 18,5 140,1005 139,9155 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-30 7,633 7,623 18,51 18,51 141,28683 141,10173 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-08-31 7,668 7,658 18,61 18,61 142,70148 142,51538 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-01 7,568 7,558 18,96 18,96 143,48928 143,29968 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-02 7,435 7,425 18,94 18,94 140,8189 140,6295 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-05 7,41 7,4 18,96 18,96 140,4936 140,304 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-06 7,485 7,475 18,92 18,92 141,6162 141,427 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-07 7,43 7,42 19,02 19,02 141,3186 141,1284 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-08 7,498 7,488 19,1 19,1 143,2118 143,0208 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-09 7,523 7,513 19,14 19,14 143,99022 143,79882 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-12 7,555 7,545 19,12 19,12 144,4516 144,2604 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-13 7,57 7,56 19,06 19,06 144,2842 144,0936 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-14 7,61 7,6 19,19 19,19 146,0359 145,844 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-15 7,658 7,648 19,09 19,09 146,19122 146,00032 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-16 7,613 7,603 19,18 19,18 146,01734 145,82554 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-20 7,688 7,678 19,26 19,26 148,07088 147,87828 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-21 7,663 7,653 19,21 19,21 147,20623 147,01413 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-22 7,648 7,638 19,03 19,03 145,54144 145,35114 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-23 7,733 7,723 18,9 18,9 146,1537 145,9647 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-26 7,798 7,788 19,1 19,1 148,9418 148,7508 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-27 7,825 7,815 19,04 19,04 148,988 148,7976 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-28 7,81 7,8 19,09 19,09 149,0929 148,902 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-29 7,785 7,775 19,3 19,3 150,2505 150,0575 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-09-30 7,785 7,775 19,35 19,35 150,63975 150,44625 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-03 7,783 7,773 19,38 19,38 150,83454 150,64074 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-04 7,82 7,81 19,49 19,49 152,4118 152,2169 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-05 7,795 7,785 19,09 19,09 148,80655 148,61565 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-06 7,713 7,703 18,79 18,79 144,92727 144,73937 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-07 7,683 7,673 18,75 18,75 144,05625 143,86875 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-10 7,698 7,688 18,85 18,85 145,1073 144,9188 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-12 7,805 7,795 18,79 18,79 146,65595 146,46805 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-13 7,83 7,82 18,58 18,58 145,4814 145,2956 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-14 7,833 7,823 18,55 18,55 145,30215 145,11665 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-17 7,835 7,825 18,6 18,6 145,731 145,545 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-18 7,893 7,883 18,58 18,58 146,65194 146,46614 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-19 7,96 7,95 18,32 18,32 145,8272 145,644 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-20 7,93 7,92 18,43 18,43 146,1499 145,9656 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-21 7,883 7,873 18,32 18,32 144,41656 144,23336 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-24 7,995 7,985 18,25 18,25 145,90875 145,72625 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-25 7,99 7,98 18,37 18,37 146,7763 146,5926 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-26 7,868 7,858 18,51 18,51 145,63668 145,45158 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-27 7,868 7,858 18,5 18,5 145,558 145,373 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-10-28 7,825 7,815 18,24 18,24 142,728 142,5456 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-02 7,98 7,97 18,41 18,41 146,9118 146,7277 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-04 8,028 8,018 18,37 18,37 147,47436 147,29066 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-07 8,135 8,125 18,32 18,32 149,0332 148,85 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-08 8,17 8,16 18,51 18,51 151,2267 151,0416 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-09 8,12 8,11 18,41 18,41 149,4892 149,3051 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-10 8,173 8,163 18,38 18,38 150,21974 150,03594 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-11 8,235 8,225 18,54 18,54 152,6769 152,4915 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-14 8,133 8,123 18,5 18,5 150,4605 150,2755 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-15 8,185 8,175 18,48 18,48 151,2588 151,074 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-16 8,21 8,2 18,54 18,54 152,2134 152,028 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-17 8,258 8,248 18,67 18,67 154,17686 153,99016 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-18 8,223 8,213 18,8 18,8 154,5924 154,4044 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-21 8,123 8,113 18,81 18,81 152,79363 152,60553 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-22 8,15 8,14 18,7 18,7 152,405 152,218 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-23 8,048 8,038 18,78 18,78 151,14144 150,95364 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-24 8,053 8,043 18,92 18,92 152,36276 152,17356 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-25 8,078 8,068 18,83 18,83 152,10874 151,92044 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-28 8,118 8,108 18,92 18,92 153,59256 153,40336 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-29 8,015 8,005 18,91 18,91 151,56365 151,37455 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-11-30 8,088 8,078 18,92 18,92 153,02496 152,83576 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-01 8,083 8,073 18,82 18,82 152,12206 151,93386 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-02 8,103 8,093 19,07 19,07 154,52421 154,33351 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-05 8,045 8,035 19,18 19,18 154,3031 154,1113 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-06 7,993 7,983 19,15 19,15 153,06595 152,87445 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-07 8,015 8,005 19,06 19,06 152,7659 152,5753 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-08 7,988 7,978 18,87 18,87 150,73356 150,54486 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-12 7,953 7,943 19,14 19,14 152,22042 152,02902 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-13 7,905 7,895 19,06 19,06 150,6693 150,4787 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-14 7,848 7,838 19,2 19,2 150,6816 150,4896 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-15 7,858 7,848 19,1 19,1 150,0878 149,8968 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-16 7,903 7,893 19,08 19,08 150,78924 150,59844 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-19 7,865 7,855 19,14 19,14 150,5361 150,3447 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-20 7,848 7,838 19,09 19,09 149,81832 149,62742 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-21 7,948 7,938 19,2 19,2 152,6016 152,4096 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-22 7,98 7,97 19,16 19,16 152,8968 152,7052 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-23 7,955 7,945 19,17 19,17 152,49735 152,30565 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-29 7,938 7,928 19,33 19,33 153,44154 153,24824 401810 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Equity Alpha Fund USD 2005-12-30 7,958 7,948 19,31 19,31 153,66898 153,47588 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-04 6,728 6,718 31,49 31,49 211,86472 211,54982 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-05 6,828 6,818 31,15 31,15 212,6922 212,3807 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-07 6,87 6,86 30,83 30,83 211,8021 211,4938 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-10 6,96091 6,95091 30,81 30,81 214,4656371 214,1575371 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-11 6,96091 6,95091 31,05 31,05 216,1362555 215,8257555 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-12 6,913 6,903 31,07 31,07 214,78691 214,47621 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-13 6,843 6,833 31,37 31,37 214,66491 214,35121 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-14 6,915 6,905 31,31 31,31 216,50865 216,19555 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-17 6,915 6,905 31,51 31,51 217,89165 217,57655 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-18 6,968 6,958 31,39 31,39 218,72552 218,41162 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-19 6,91 6,9 31,53 31,53 217,8723 217,557 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-20 6,96 6,95 31,33 31,33 218,0568 217,7435 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-24 6,933 6,923 31,42 31,42 217,83486 217,52066 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-25 6,95 6,94 31,46 31,46 218,647 218,3324 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-27 6,93 6,92 32,19 32,19 223,0767 222,7548 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-28 6,985 6,975 32,27 32,27 225,40595 225,08325 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-01-31 6,998 6,988 32,45 32,45 227,0851 226,7606 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-01 6,993 6,983 32,32 32,32 226,01376 225,69056 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-02 6,953 6,943 32,41 32,41 225,34673 225,02263 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-03 6,968 6,958 32,51 32,51 226,52968 226,20458 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-04 7,01 7 32,73 32,73 229,4373 229,11 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-07 7,065 7,055 33,03 33,03 233,35695 233,02665 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-08 7,123 7,113 32,86 32,86 234,06178 233,73318 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-14 7,03 7,02 33,37 33,37 234,5911 234,2574 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-15 7,005 6,995 33,43 33,43 234,17715 233,84285 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-16 6,973 6,963 33,38 33,38 232,75874 232,42494 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-17 6,97 6,96 33,47 33,47 233,2859 232,9512 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-18 6,965 6,955 33,75 33,75 235,06875 234,73125 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-21 6,978 6,968 33,99 33,99 237,18222 236,84232 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-22 6,905 6,895 33,95 33,95 234,42475 234,08525 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-23 6,895 6,885 33,47 33,47 230,77565 230,44095 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-24 6,858 6,848 33,71 33,71 231,18318 230,84608 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-25 6,885 6,875 33,84 33,84 232,9884 232,65 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-02-28 6,828 6,818 34,43 34,43 235,08804 234,74374 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-01 6,87 6,86 34,5 34,5 237,015 236,67 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-02 6,888 6,878 34,54 34,54 237,91152 237,56612 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-03 6,903 6,893 34,7 34,7 239,5341 239,1871 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-04 6,9 6,89 34,97 34,97 241,293 240,9433 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-07 6,84 6,83 35,05 35,05 239,742 239,3915 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-08 6,825 6,815 35,2 35,2 240,24 239,888 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-09 6,76 6,75 35,42 35,42 239,4392 239,085 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-10 6,745 6,735 35,29 35,29 238,03105 237,67815 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-11 6,765 6,755 35,61 35,61 240,90165 240,54555 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-15 6,815 6,805 35,18 35,18 239,7517 239,3999 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-16 6,81 6,8 35,38 35,38 240,9378 240,584 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-18 6,828 6,818 34,96 34,96 238,70688 238,35728 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-21 6,908 6,898 34,82 34,82 240,53656 240,18836 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-22 6,928 6,918 34,81 34,81 241,16368 240,81558 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-23 6,973 6,963 33,92 33,92 236,52416 236,18496 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-24 7,008 6,998 33,52 33,52 234,90816 234,57296 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-29 7,055 7,045 33,17 33,17 234,01435 233,68265 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-30 7,053 7,043 33,06 33,06 233,17218 232,84158 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-03-31 7,065 7,055 33,52 33,52 236,8188 236,4836 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-01 7,07 7,06 33,86 33,86 239,3902 239,0516 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-04 7,113 7,103 33,61 33,61 239,06793 238,73183 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-06 7,125 7,115 33,73 33,73 240,32625 239,98895 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-07 7,083 7,073 33,82 33,82 239,54706 239,20886 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-08 7,153 7,143 33,92 33,92 242,62976 242,29056 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-11 7,098 7,088 33,71 33,71 239,27358 238,93648 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-12 7,048 7,038 33,67 33,67 237,30616 236,96946 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-13 7,075 7,065 33,82 33,82 239,2765 238,9383 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-14 7,12 7,11 33,15 33,15 236,028 235,6965 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-15 7,17 7,16 32,61 32,61 233,8137 233,4876 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-18 7,08 7,07 31,82 31,82 225,2856 224,9674 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-19 7,068 7,058 32,43 32,43 229,21524 228,89094 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-20 7,043 7,033 32,62 32,62 229,74266 229,41646 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-21 7,025 7,015 32,63 32,63 229,22575 228,89945 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-22 7,023 7,013 32,94 32,94 231,33762 231,00822 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-26 7,035 7,025 32,8 32,8 230,748 230,42 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-27 7,085 7,075 32,54 32,54 230,5459 230,2205 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-28 7,085 7,075 32,45 32,45 229,90825 229,58375 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-04-29 7,08 7,07 32,11 32,11 227,3388 227,0177 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-03 7,178 7,168 31,89 31,89 228,90642 228,58752 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-04 7,11 7,1 32,14 32,14 228,5154 228,194 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-06 7,085 7,075 32,29 32,29 228,77465 228,45175 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-09 7,168 7,158 32,1 32,1 230,0928 229,7718 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-10 7,178 7,168 32,14 32,14 230,70092 230,37952 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-11 7,15 7,14 31,95 31,95 228,4425 228,123 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-12 7,243 7,233 31,83 31,83 230,54469 230,22639 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-13 7,265 7,255 31,48 31,48 228,7022 228,3874 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-17 7,313 7,303 30,93 30,93 226,19109 225,88179 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-18 7,3 7,29 31 31 226,3 225,99 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-19 7,26 7,25 31,4 31,4 227,964 227,65 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-20 7,28 7,27 31,44 31,44 228,8832 228,5688 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-24 7,295 7,285 32,01 32,01 233,51295 233,19285 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-25 7,298 7,288 31,75 31,75 231,7115 231,394 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-26 7,33 7,32 31,7 31,7 232,361 232,044 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-27 7,338 7,328 31,96 31,96 234,52248 234,20288 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-30 7,338 7,328 32,18 32,18 236,13684 235,81504 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-05-31 7,403 7,393 32,09 32,09 237,56227 237,24137 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-01 7,428 7,418 32,1 32,1 238,4388 238,1178 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-02 7,473 7,463 32,34 32,34 241,67682 241,35342 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-03 7,438 7,428 32,57 32,57 242,25566 241,92996 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-07 7,448 7,438 32,83 32,83 244,51784 244,18954 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-08 7,435 7,425 33,05 33,05 245,72675 245,39625 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-09 7,523 7,513 33,27 33,27 250,29021 249,95751 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-10 7,525 7,515 33,17 33,17 249,60425 249,27255 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-14 7,663 7,653 32,9 32,9 252,1127 251,7837 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-15 7,693 7,683 33,26 33,26 255,86918 255,53658 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-16 7,678 7,668 33,46 33,46 256,90588 256,57128 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-17 7,643 7,633 33,82 33,82 258,48626 258,14806 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-20 7,543 7,533 33,91 33,91 255,78313 255,44403 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-21 7,648 7,638 33,78 33,78 258,34944 258,01164 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-22 7,608 7,598 33,97 33,97 258,44376 258,10406 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-23 7,73 7,72 34,05 34,05 263,2065 262,866 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-27 7,73 7,72 33,87 33,87 261,8151 261,4764 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-28 7,76 7,75 33,76 33,76 261,9776 261,64 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-29 7,833 7,823 33,79 33,79 264,67707 264,33917 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-06-30 7,823 7,813 33,89 33,89 265,12147 264,78257 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-04 7,945 7,935 33,55 33,55 266,55475 266,21925 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-05 7,963 7,953 33,23 33,23 264,61049 264,27819 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-06 7,895 7,885 33,12 33,12 261,4824 261,1512 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-07 7,878 7,868 32,89 32,89 259,10742 258,77852 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-08 7,913 7,903 32,86 32,86 260,02118 259,69258 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-11 7,89 7,88 33,33 33,33 262,9737 262,6404 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-12 7,77 7,76 33,6 33,6 261,072 260,736 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-13 7,703 7,693 33,57 33,57 258,58971 258,25401 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-14 7,76 7,75 33,94 33,94 263,3744 263,035 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-15 7,76 7,75 33,69 33,69 261,4344 261,0975 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-18 7,78 7,77 34,15 34,15 265,687 265,3455 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-19 7,878 7,868 34,34 34,34 270,53052 270,18712 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-20 7,818 7,808 34,5 34,5 269,721 269,376 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-21 7,775 7,765 34,82 34,82 270,7255 270,3773 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-22 7,758 7,748 35,13 35,13 272,53854 272,18724 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-25 7,838 7,828 35,23 35,23 276,13274 275,78044 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-26 7,818 7,808 35,06 35,06 274,09908 273,74848 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-27 7,905 7,895 35,31 35,31 279,12555 278,77245 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-28 7,848 7,838 35,49 35,49 278,52552 278,17062 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-07-29 7,748 7,738 35,77 35,77 277,14596 276,78826 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-02 7,7 7,69 36,18 36,18 278,586 278,2242 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-03 7,685 7,675 36,37 36,37 279,50345 279,13975 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-04 7,618 7,608 36,25 36,25 276,1525 275,79 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-05 7,548 7,538 35,99 35,99 271,65252 271,29262 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-08 7,558 7,548 35,8 35,8 270,5764 270,2184 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-10 7,558 7,548 36,24 36,24 273,90192 273,53952 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-11 7,523 7,513 36,62 36,62 275,49226 275,12606 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-12 7,46 7,45 36,67 36,67 273,5582 273,1915 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-15 7,508 7,498 36,58 36,58 274,64264 274,27684 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-16 7,523 7,513 36,52 36,52 274,73996 274,37476 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-17 7,605 7,595 36,38 36,38 276,6699 276,3061 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-18 7,61 7,6 35,69 35,69 271,6009 271,244 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-19 7,698 7,688 35,69 35,69 274,74162 274,38472 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-22 7,69 7,68 36,21 36,21 278,4549 278,0928 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-23 7,663 7,653 36,32 36,32 278,32016 277,95696 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-24 7,673 7,663 35,99 35,99 276,15127 275,79137 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-25 7,588 7,578 36,04 36,04 273,47152 273,11112 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-26 7,578 7,568 36,03 36,03 273,03534 272,67504 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-29 7,573 7,563 35,32 35,32 267,47836 267,12516 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-30 7,633 7,623 35,44 35,44 270,51352 270,15912 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-08-31 7,668 7,658 35,69 35,69 273,67092 273,31402 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-01 7,568 7,558 36,51 36,51 276,30768 275,94258 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-02 7,435 7,425 36,78 36,78 273,4593 273,0915 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-05 7,41 7,4 36,82 36,82 272,8362 272,468 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-06 7,485 7,475 36,85 36,85 275,82225 275,45375 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-07 7,43 7,42 37,17 37,17 276,1731 275,8014 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-08 7,498 7,488 37,21 37,21 279,00058 278,62848 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-09 7,523 7,513 37,27 37,27 280,38221 280,00951 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-12 7,555 7,545 37,38 37,38 282,4059 282,0321 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-13 7,57 7,56 37,21 37,21 281,6797 281,3076 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-14 7,61 7,6 37,56 37,56 285,8316 285,456 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-15 7,658 7,648 37,49 37,49 287,09842 286,72352 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-16 7,613 7,603 37,8 37,8 287,7714 287,3934 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-20 7,688 7,678 38,16 38,16 293,37408 292,99248 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-21 7,663 7,653 38,31 38,31 293,56953 293,18643 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-22 7,648 7,638 38,31 38,31 292,99488 292,61178 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-23 7,733 7,723 37,87 37,87 292,84871 292,47001 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-26 7,798 7,788 38,24 38,24 298,19552 297,81312 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-27 7,825 7,815 38,23 38,23 299,14975 298,76745 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-28 7,81 7,8 38,46 38,46 300,3726 299,988 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-29 7,785 7,775 38,72 38,72 301,4352 301,048 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-09-30 7,785 7,775 38,68 38,68 301,1238 300,737 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-03 7,783 7,773 38,76 38,76 301,66908 301,28148 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-04 7,82 7,81 39,08 39,08 305,6056 305,2148 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-05 7,795 7,785 38,41 38,41 299,40595 299,02185 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-06 7,713 7,703 37,56 37,56 289,70028 289,32468 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-07 7,683 7,673 37,62 37,62 289,03446 288,65826 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-10 7,698 7,688 38,06 38,06 292,98588 292,60528 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-12 7,805 7,795 37,98 37,98 296,4339 296,0541 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-13 7,83 7,82 37,54 37,54 293,9382 293,5628 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-14 7,833 7,823 37,46 37,46 293,42418 293,04958 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-17 7,835 7,825 37,23 37,23 291,69705 291,32475 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-18 7,893 7,883 37,21 37,21 293,69853 293,32643 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-19 7,96 7,95 36,6 36,6 291,336 290,97 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-20 7,93 7,92 36,73 36,73 291,2689 290,9016 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-21 7,883 7,873 36,81 36,81 290,17323 289,80513 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-24 7,995 7,985 36,77 36,77 293,97615 293,60845 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-25 7,99 7,98 36,97 36,97 295,3903 295,0206 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-26 7,868 7,858 37,17 37,17 292,45356 292,08186 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-27 7,868 7,858 37,05 37,05 291,5094 291,1389 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-10-28 7,825 7,815 36,44 36,44 285,143 284,7786 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-02 7,98 7,97 37,43 37,43 298,6914 298,3171 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-04 8,028 8,018 37,25 37,25 299,043 298,6705 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-07 8,135 8,125 37,1 37,1 301,8085 301,4375 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-08 8,17 8,16 37,31 37,31 304,8227 304,4496 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-09 8,12 8,11 37,29 37,29 302,7948 302,4219 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-10 8,173 8,163 37,4 37,4 305,6702 305,2962 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-11 8,235 8,225 37,67 37,67 310,21245 309,83575 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-14 8,133 8,123 37,66 37,66 306,28878 305,91218 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-15 8,185 8,175 37,63 37,63 308,00155 307,62525 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-16 8,21 8,2 37,67 37,67 309,2707 308,894 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-17 8,258 8,248 38,02 38,02 313,96916 313,58896 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-18 8,223 8,213 38,17 38,17 313,87191 313,49021 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-21 8,123 8,113 38,2 38,2 310,2986 309,9166 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-22 8,15 8,14 38,08 38,08 310,352 309,9712 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-23 8,048 8,038 38,93 38,93 313,30864 312,91934 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-24 8,053 8,043 39,29 39,29 316,40237 316,00947 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-25 8,078 8,068 39,31 39,31 317,54618 317,15308 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-28 8,118 8,108 39,23 39,23 318,46914 318,07684 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-29 8,015 8,005 39,16 39,16 313,8674 313,4758 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-11-30 8,088 8,078 39,55 39,55 319,8804 319,4849 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-01 8,083 8,073 39,48 39,48 319,11684 318,72204 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-02 8,103 8,093 39,64 39,64 321,20292 320,80652 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-05 8,045 8,035 39,91 39,91 321,07595 320,67685 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-06 7,993 7,983 39,81 39,81 318,20133 317,80323 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-07 8,015 8,005 39,53 39,53 316,83295 316,43765 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-08 7,988 7,978 39,43 39,43 314,96684 314,57254 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-12 7,953 7,943 40,18 40,18 319,55154 319,14974 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-13 7,905 7,895 40,3 40,3 318,5715 318,1685 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-14 7,848 7,838 40,45 40,45 317,4516 317,0471 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-15 7,858 7,848 40,44 40,44 317,77752 317,37312 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-16 7,903 7,893 39,98 39,98 315,96194 315,56214 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-19 7,865 7,855 40,22 40,22 316,3303 315,9281 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-20 7,848 7,838 39,95 39,95 313,5276 313,1281 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-21 7,948 7,938 40,12 40,12 318,87376 318,47256 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-22 7,98 7,97 39,97 39,97 318,9606 318,5609 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-23 7,955 7,945 40 40 318,2 317,8 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-29 7,938 7,928 40,85 40,85 324,2673 323,8588 437640 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund USD 2005-12-30 7,958 7,948 40,91 40,91 325,56178 325,15268 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-04 9,0345 9,0295 7,96 7,96 71,91462 71,87482 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-05 9,0615 9,0565 7,9 7,9 71,58585 71,54635 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-07 9,0615 9,0565 8 8 72,492 72,452 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-10 9,08619 9,08119 7,99 7,99 72,5986581 72,5587081 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-11 9,08619 9,08119 7,93 7,93 72,0534867 72,0138367 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-12 9,0455 9,0405 7,88 7,88 71,27854 71,23914 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-13 9,0505 9,0455 7,9 7,9 71,49895 71,45945 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-14 9,0455 9,0405 7,95 7,95 71,911725 71,871975 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-17 9,0685 9,0635 7,98 7,98 72,36663 72,32673 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-18 9,0585 9,0535 8 8 72,468 72,428 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-19 9,0225 9,0175 8,01 8,01 72,270225 72,230175 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-20 9,0315 9,0265 7,98 7,98 72,07137 72,03147 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-21 9,0505 9,0455 7,98 7,98 72,22299 72,18309 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-24 9,0655 9,0605 7,97 7,97 72,252035 72,212185 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-25 9,0715 9,0665 8,02 8,02 72,75343 72,71333 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-26 9,0885 9,0835 8,02 8,02 72,88977 72,84967 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-27 9,0675 9,0625 8,05 8,05 72,993375 72,953125 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-28 9,0955 9,0905 8,03 8,03 73,036865 72,996715 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-01-31 9,1075 9,1025 8,08 8,08 73,5886 73,5482 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-01 9,1035 9,0985 8,15 8,15 74,193525 74,152775 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-02 9,0905 9,0855 8,17 8,17 74,269385 74,228535 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-03 9,0695 9,0645 8,18 8,18 74,18851 74,14761 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-04 9,0895 9,0845 8,26 8,26 75,07927 75,03797 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-07 9,0755 9,0705 8,3 8,3 75,32665 75,28515 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-08 9,0895 9,0845 8,32 8,32 75,62464 75,58304 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-09 9,0695 9,0645 8,3 8,3 75,27685 75,23535 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-10 9,0805 9,0755 8,3 8,3 75,36815 75,32665 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-11 9,0935 9,0885 8,38 8,38 76,20353 76,16163 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-14 9,1105 9,1055 8,39 8,39 76,437095 76,395145 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-15 9,0765 9,0715 8,42 8,42 76,42413 76,38203 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-16 9,0705 9,0655 8,37 8,37 75,920085 75,878235 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-17 9,0925 9,0875 8,4 8,4 76,377 76,335 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-18 9,0945 9,0895 8,42 8,42 76,57569 76,53359 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-21 9,1185 9,1135 8,4 8,4 76,5954 76,5534 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-22 9,0975 9,0925 8,32 8,32 75,6912 75,6496 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-23 9,1045 9,0995 8,28 8,28 75,38526 75,34386 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-24 9,0715 9,0665 8,29 8,29 75,202735 75,161285 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-25 9,0845 9,0795 8,38 8,38 76,12811 76,08621 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-02-28 9,0505 9,0455 8,36 8,36 75,66218 75,62038 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-01 9,0565 9,0515 8,44 8,44 76,43686 76,39466 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-02 9,0645 9,0595 8,44 8,44 76,50438 76,46218 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-03 9,0675 9,0625 8,43 8,43 76,439025 76,396875 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-04 9,0415 9,0365 8,49 8,49 76,762335 76,719885 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-07 9,0425 9,0375 8,48 8,48 76,6804 76,638 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-08 9,0345 9,0295 8,44 8,44 76,25118 76,20898 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-09 9,0365 9,0315 8,4 8,4 75,9066 75,8646 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-10 9,0655 9,0605 8,32 8,32 75,42496 75,38336 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-11 9,0795 9,0745 8,35 8,35 75,813825 75,772075 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-14 9,0695 9,0645 8,33 8,33 75,548935 75,507285 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-15 9,1035 9,0985 8,4 8,4 76,4694 76,4274 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-16 9,0975 9,0925 8,3 8,3 75,50925 75,46775 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-18 9,1035 9,0985 8,3 8,3 75,55905 75,51755 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-21 9,1265 9,1215 8,29 8,29 75,658685 75,617235 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-22 9,1265 9,1215 8,29 8,29 75,658685 75,617235 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-23 9,1165 9,1115 8,26 8,26 75,30229 75,26099 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-24 9,1135 9,1085 8,3 8,3 75,64205 75,60055 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-29 9,1315 9,1265 8,33 8,33 76,065395 76,023745 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-30 9,1425 9,1375 8,32 8,32 76,0656 76,024 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-03-31 9,1405 9,1355 8,32 8,32 76,04896 76,00736 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-01 9,1645 9,1595 8,36 8,36 76,61522 76,57342 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-04 9,1695 9,1645 8,32 8,32 76,29024 76,24864 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-05 9,1745 9,1695 8,39 8,39 76,974055 76,932105 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-06 9,1705 9,1655 8,42 8,42 77,21561 77,17351 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-07 9,1505 9,1455 8,44 8,44 77,23022 77,18802 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-08 9,1625 9,1575 8,45 8,45 77,423125 77,380875 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-11 9,1705 9,1655 8,43 8,43 77,307315 77,265165 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-12 9,1525 9,1475 8,41 8,41 76,972525 76,930475 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-13 9,1495 9,1445 8,44 8,44 77,22178 77,17958 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-14 9,1685 9,1635 8,41 8,41 77,107085 77,065035 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-15 9,1925 9,1875 8,27 8,27 76,021975 75,980625 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-18 9,1805 9,1755 8,11 8,11 74,453855 74,413305 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-19 9,2035 9,1985 8,16 8,16 75,10056 75,05976 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-20 9,1915 9,1865 8,11 8,11 74,543065 74,502515 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-21 9,1855 9,1805 8,09 8,09 74,310695 74,270245 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-22 9,1625 9,1575 8,15 8,15 74,674375 74,633625 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-25 9,1685 9,1635 8,2 8,2 75,1817 75,1407 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-26 9,1375 9,1325 8,15 8,15 74,470625 74,429875 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-27 9,1465 9,1415 8,04 8,04 73,53786 73,49766 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-28 9,1505 9,1455 8,03 8,03 73,478515 73,438365 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-04-29 9,1705 9,1655 8,05 8,05 73,822525 73,782275 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-03 9,2245 9,2195 8,12 8,12 74,90294 74,86234 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-04 9,1915 9,1865 8,27 8,27 76,013705 75,972355 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-06 9,1715 9,1665 8,32 8,32 76,30688 76,26528 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-09 9,1815 9,1765 8,29 8,29 76,114635 76,073185 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-10 9,1985 9,1935 8,24 8,24 75,79564 75,75444 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-11 9,2105 9,2055 8,21 8,21 75,618205 75,577155 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-12 9,2315 9,2265 8,27 8,27 76,344505 76,303155 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-13 9,2045 9,1995 8,26 8,26 76,02917 75,98787 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-16 9,2145 9,2095 8,21 8,21 75,651045 75,609995 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-17 9,2325 9,2275 8,22 8,22 75,89115 75,85005 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-18 9,2095 9,2045 8,33 8,33 76,715135 76,673485 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-19 9,1905 9,1855 8,38 8,38 77,01639 76,97449 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-20 9,1955 9,1905 8,4 8,4 77,2422 77,2002 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-23 9,1805 9,1755 8,44 8,44 77,48342 77,44122 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-24 9,1815 9,1765 8,43 8,43 77,400045 77,357895 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-25 9,1785 9,1735 8,43 8,43 77,374755 77,332605 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-26 9,1945 9,1895 8,48 8,48 77,96936 77,92696 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-27 9,1955 9,1905 8,49 8,49 78,069795 78,027345 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-05-31 9,1665 9,1615 8,52 8,52 78,09858 78,05598 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-01 9,1455 9,1405 8,64 8,64 79,01712 78,97392 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-02 9,1565 9,1515 8,64 8,64 79,11216 79,06896 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-03 9,1315 9,1265 8,63 8,63 78,804845 78,761695 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-07 9,1455 9,1405 8,68 8,68 79,38294 79,33954 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-08 9,1455 9,1405 8,66 8,66 79,20003 79,15673 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-09 9,1965 9,1915 8,66 8,66 79,64169 79,59839 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-10 9,1975 9,1925 8,72 8,72 80,2022 80,1586 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-13 9,2365 9,2315 8,77 8,77 81,004105 80,960255 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-14 9,2985 9,2935 8,79 8,79 81,733815 81,689865 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-15 9,2695 9,2645 8,76 8,76 81,20082 81,15702 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-16 9,2695 9,2645 8,82 8,82 81,75699 81,71289 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-17 9,2695 9,2645 8,81 8,81 81,664295 81,620245 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-20 9,2255 9,2205 8,83 8,83 81,461165 81,417015 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-21 9,2725 9,2675 8,86 8,86 82,15435 82,11005 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-22 9,2615 9,2565 8,87 8,87 82,149505 82,105155 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-23 9,3535 9,3485 8,92 8,92 83,43322 83,38862 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-27 9,3855 9,3805 8,76 8,76 82,21698 82,17318 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-28 9,3995 9,3945 8,84 8,84 83,09158 83,04738 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-29 9,4215 9,4165 8,86 8,86 83,47449 83,43019 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-06-30 9,4415 9,4365 8,79 8,79 82,990785 82,946835 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-01 9,4595 9,4545 8,86 8,86 83,81117 83,76687 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-04 9,4795 9,4745 8,88 8,88 84,17796 84,13356 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-05 9,4575 9,4525 8,85 8,85 83,698875 83,654625 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-06 9,4195 9,4145 8,9 8,9 83,83355 83,78905 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-07 9,3965 9,3915 8,74 8,74 82,12541 82,08171 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-08 9,4175 9,4125 8,87 8,87 83,533225 83,488875 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-11 9,4665 9,4615 8,92 8,92 84,44118 84,39658 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-12 9,4645 9,4595 8,89 8,89 84,139405 84,094955 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-13 9,3915 9,3865 8,95 8,95 84,053925 84,009175 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-14 9,3675 9,3625 8,99 8,99 84,213825 84,168875 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-15 9,4055 9,4005 8,97 8,97 84,367335 84,322485 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-18 9,3895 9,3845 8,94 8,94 83,94213 83,89743 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-19 9,4425 9,4375 8,97 8,97 84,699225 84,654375 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-20 9,4265 9,4215 8,95 8,95 84,367175 84,322425 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-21 9,4625 9,4575 8,99 8,99 85,067875 85,022925 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-22 9,4495 9,4445 9 9 85,0455 85,0005 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-25 9,4275 9,4225 9,04 9,04 85,2246 85,1794 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-26 9,4155 9,4105 9,06 9,06 85,30443 85,25913 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-27 9,4725 9,4675 9,1 9,1 86,19975 86,15425 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-28 9,4515 9,4465 9,15 9,15 86,481225 86,435475 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-07-29 9,3885 9,3835 9,13 9,13 85,717005 85,671355 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-02 9,3995 9,3945 9,21 9,21 86,569395 86,523345 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-03 9,3755 9,3705 9,23 9,23 86,535865 86,489715 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-04 9,3735 9,3685 9,15 9,15 85,767525 85,721775 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-05 9,3355 9,3305 9,12 9,12 85,13976 85,09416 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-08 9,3335 9,3285 9,17 9,17 85,588195 85,542345 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-09 9,3455 9,3405 9,23 9,23 86,258965 86,212815 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-10 9,3535 9,3485 9,31 9,31 87,081085 87,034535 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-11 9,3365 9,3315 9,28 9,28 86,64272 86,59632 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-12 9,3025 9,2975 9,26 9,26 86,14115 86,09485 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-15 9,3065 9,3015 9,27 9,27 86,271255 86,224905 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-16 9,2995 9,2945 9,24 9,24 85,92738 85,88118 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-17 9,3405 9,3355 9,23 9,23 86,212815 86,166665 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-18 9,3365 9,3315 9,19 9,19 85,802435 85,756485 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-19 9,3395 9,3345 9,28 9,28 86,67056 86,62416 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-22 9,3655 9,3605 9,29 9,29 87,005495 86,959045 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-23 9,3715 9,3665 9,24 9,24 86,59266 86,54646 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-24 9,3365 9,3315 9,19 9,19 85,802435 85,756485 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-25 9,3335 9,3285 9,13 9,13 85,214855 85,169205 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-26 9,3415 9,3365 9,08 9,08 84,82082 84,77542 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-30 9,3285 9,3235 9,1 9,1 84,88935 84,84385 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-08-31 9,3585 9,3535 9,19 9,19 86,004615 85,958665 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-01 9,3365 9,3315 9,25 9,25 86,362625 86,316375 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-02 9,3025 9,2975 9,24 9,24 85,9551 85,9089 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-05 9,2845 9,2795 9,29 9,29 86,253005 86,206555 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-06 9,3225 9,3175 9,37 9,37 87,351825 87,304975 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-07 9,3075 9,3025 9,41 9,41 87,583575 87,536525 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-08 9,3255 9,3205 9,39 9,39 87,566445 87,519495 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-09 9,3445 9,3395 9,43 9,43 88,118635 88,071485 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-12 9,3015 9,2965 9,46 9,46 87,99219 87,94489 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-13 9,3015 9,2965 9,4 9,4 87,4341 87,3871 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-14 9,3365 9,3315 9,42 9,42 87,94983 87,90273 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-15 9,3425 9,3375 9,45 9,45 88,286625 88,239375 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-16 9,3465 9,3415 9,52 9,52 88,97868 88,93108 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-19 9,3355 9,3305 9,54 9,54 89,06067 89,01297 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-20 9,3395 9,3345 9,55 9,55 89,192225 89,144475 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-21 9,3405 9,3355 9,45 9,45 88,267725 88,220475 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-22 9,3405 9,3355 9,42 9,42 87,98751 87,94041 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-23 9,3695 9,3645 9,46 9,46 88,63547 88,58817 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-26 9,3815 9,3765 9,58 9,58 89,87477 89,82687 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-27 9,3885 9,3835 9,56 9,56 89,75406 89,70626 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-28 9,3935 9,3885 9,66 9,66 90,74121 90,69291 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-29 9,3845 9,3795 9,63 9,63 90,372735 90,324585 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-09-30 9,3435 9,3385 9,67 9,67 90,351645 90,303295 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-03 9,3025 9,2975 9,74 9,74 90,60635 90,55765 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-04 9,3185 9,3135 9,77 9,77 91,041745 90,992895 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-05 9,3105 9,3055 9,66 9,66 89,93943 89,89113 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-06 9,3015 9,2965 9,52 9,52 88,55028 88,50268 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-07 9,3385 9,3335 9,48 9,48 88,52898 88,48158 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-10 9,3465 9,3415 9,52 9,52 88,97868 88,93108 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-11 9,3395 9,3345 9,55 9,55 89,192225 89,144475 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-12 9,3375 9,3325 9,48 9,48 88,5195 88,4721 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-13 9,3815 9,3765 9,36 9,36 87,81084 87,76404 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-14 9,4135 9,4085 9,38 9,38 88,29863 88,25173 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-17 9,4575 9,4525 9,38 9,38 88,71135 88,66445 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-18 9,4625 9,4575 9,36 9,36 88,569 88,5222 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-19 9,4605 9,4555 9,18 9,18 86,84739 86,80149 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-20 9,4935 9,4885 9,22 9,22 87,53007 87,48397 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-21 9,4915 9,4865 9,17 9,17 87,037055 86,991205 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-24 9,5455 9,5405 9,29 9,29 88,677695 88,631245 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-25 9,5465 9,5415 9,27 9,27 88,496055 88,449705 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-26 9,4975 9,4925 9,32 9,32 88,5167 88,4701 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-27 9,5355 9,5305 9,19 9,19 87,631245 87,585295 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-10-28 9,5135 9,5085 9,2 9,2 87,5242 87,4782 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-01 9,5495 9,5445 9,47 9,47 90,433765 90,386415 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-02 9,5855 9,5805 9,52 9,52 91,25396 91,20636 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-03 9,6515 9,6465 9,64 9,64 93,04046 92,99226 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-04 9,5875 9,5825 9,61 9,61 92,135875 92,087825 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-07 9,6075 9,6025 9,65 9,65 92,712375 92,664125 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-08 9,5685 9,5635 9,66 9,66 92,43171 92,38341 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-09 9,5575 9,5525 9,66 9,66 92,32545 92,27715 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-10 9,6105 9,6055 9,65 9,65 92,741325 92,693075 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-11 9,6365 9,6315 9,76 9,76 94,05224 94,00344 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-14 9,5505 9,5455 9,78 9,78 93,40389 93,35499 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-15 9,5805 9,5755 9,74 9,74 93,31407 93,26537 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-16 9,6235 9,6185 9,65 9,65 92,866775 92,818525 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-17 9,6355 9,6305 9,71 9,71 93,560705 93,512155 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-18 9,6085 9,6035 9,78 9,78 93,97113 93,92223 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-21 9,5915 9,5865 9,81 9,81 94,092615 94,043565 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-22 9,5585 9,5535 9,82 9,82 93,86447 93,81537 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-23 9,5155 9,5105 9,87 9,87 93,917985 93,868635 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-24 9,5125 9,5075 9,85 9,85 93,698125 93,648875 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-25 9,4965 9,4915 9,88 9,88 93,82542 93,77602 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-28 9,4835 9,4785 9,82 9,82 93,12797 93,07887 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-29 9,4785 9,4735 9,84 9,84 93,26844 93,21924 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-11-30 9,5295 9,5245 9,79 9,79 93,293805 93,244855 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-01 9,5165 9,5115 9,95 9,95 94,689175 94,639425 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-02 9,4905 9,4855 10,03 10,03 95,189715 95,139565 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-05 9,4065 9,4015 10 10 94,065 94,015 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-06 9,4185 9,4135 10,06 10,06 94,75011 94,69981 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-07 9,4255 9,4205 10,05 10,05 94,726275 94,676025 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-08 9,3965 9,3915 10,04 10,04 94,34086 94,29066 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-12 9,4315 9,4265 10,02 10,02 94,50363 94,45353 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-13 9,4295 9,4245 10,03 10,03 94,577885 94,527735 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-14 9,4365 9,4315 10 10 94,365 94,315 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-15 9,4345 9,4295 9,98 9,98 94,15631 94,10641 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-16 9,4765 9,4715 10,04 10,04 95,14406 95,09386 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-19 9,4535 9,4485 10,01 10,01 94,629535 94,579485 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-20 9,4015 9,3965 10,04 10,04 94,39106 94,34086 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-21 9,4485 9,4435 10,11 10,11 95,524335 95,473785 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-22 9,4365 9,4315 10,1 10,1 95,30865 95,25815 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-23 9,4425 9,4375 10,11 10,11 95,463675 95,413125 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-29 9,4115 9,4065 10,16 10,16 95,62084 95,57004 473470 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Equity Alpha Fund EUR 2005-12-30 9,4325 9,4275 10,1 10,1 95,26825 95,21775 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-04 9,0345 9,0295 11,31 11,31 102,180195 102,123645 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-05 9,0615 9,0565 11,25 11,25 101,941875 101,885625 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-07 9,0615 9,0565 11,37 11,37 103,029255 102,972405 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-10 9,08619 9,08119 11,38 11,38 103,4008422 103,3439422 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-11 9,08619 9,08119 11,33 11,33 102,9465327 102,8898827 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-12 9,0455 9,0405 11,34 11,34 102,57597 102,51927 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-13 9,0505 9,0455 11,4 11,4 103,1757 103,1187 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-14 9,0455 9,0405 11,49 11,49 103,932795 103,875345 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-17 9,0685 9,0635 11,53 11,53 104,559805 104,502155 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-18 9,0585 9,0535 11,59 11,59 104,988015 104,930065 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-19 9,0225 9,0175 11,63 11,63 104,931675 104,873525 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-20 9,0315 9,0265 11,61 11,61 104,855715 104,797665 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-21 9,0505 9,0455 11,6 11,6 104,9858 104,9278 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-24 9,0655 9,0605 11,58 11,58 104,97849 104,92059 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-25 9,0715 9,0665 11,63 11,63 105,501545 105,443395 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-26 9,0885 9,0835 11,66 11,66 105,97191 105,91361 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-27 9,0675 9,0625 11,68 11,68 105,9084 105,85 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-28 9,0955 9,0905 11,7 11,7 106,41735 106,35885 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-01-31 9,1075 9,1025 11,77 11,77 107,195275 107,136425 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-01 9,1035 9,0985 11,83 11,83 107,694405 107,635255 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-02 9,0905 9,0855 11,91 11,91 108,267855 108,208305 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-03 9,0695 9,0645 11,98 11,98 108,65261 108,59271 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-04 9,0895 9,0845 12,07 12,07 109,710265 109,649915 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-07 9,0755 9,0705 12,14 12,14 110,17657 110,11587 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-08 9,0895 9,0845 12,18 12,18 110,71011 110,64921 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-09 9,0695 9,0645 12,2 12,2 110,6479 110,5869 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-10 9,0805 9,0755 12,19 12,19 110,691295 110,630345 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-11 9,0935 9,0885 12,28 12,28 111,66818 111,60678 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-14 9,1105 9,1055 12,31 12,31 112,150255 112,088705 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-15 9,0765 9,0715 12,35 12,35 112,094775 112,033025 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-16 9,0705 9,0655 12,3 12,3 111,56715 111,50565 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-17 9,0925 9,0875 12,36 12,36 112,3833 112,3215 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-18 9,0945 9,0895 12,39 12,39 112,680855 112,618905 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-21 9,1185 9,1135 12,34 12,34 112,52229 112,46059 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-22 9,0975 9,0925 12,23 12,23 111,262425 111,201275 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-23 9,1045 9,0995 12,18 12,18 110,89281 110,83191 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-24 9,0715 9,0665 12,22 12,22 110,85373 110,79263 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-25 9,0845 9,0795 12,34 12,34 112,10273 112,04103 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-02-28 9,0505 9,0455 12,36 12,36 111,86418 111,80238 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-01 9,0565 9,0515 12,43 12,43 112,572295 112,510145 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-02 9,0645 9,0595 12,39 12,39 112,309155 112,247205 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-03 9,0675 9,0625 12,39 12,39 112,346325 112,284375 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-04 9,0415 9,0365 12,48 12,48 112,83792 112,77552 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-07 9,0425 9,0375 12,5 12,5 113,03125 112,96875 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-08 9,0345 9,0295 12,45 12,45 112,479525 112,417275 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-09 9,0365 9,0315 12,37 12,37 111,781505 111,719655 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-10 9,0655 9,0605 12,3 12,3 111,50565 111,44415 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-11 9,0795 9,0745 12,36 12,36 112,22262 112,16082 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-14 9,0695 9,0645 12,34 12,34 111,91763 111,85593 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-15 9,1035 9,0985 12,37 12,37 112,610295 112,548445 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-16 9,0975 9,0925 12,28 12,28 111,7173 111,6559 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-18 9,1035 9,0985 12,26 12,26 111,60891 111,54761 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-21 9,1265 9,1215 12,26 12,26 111,89089 111,82959 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-22 9,1265 9,1215 12,25 12,25 111,799625 111,738375 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-23 9,1165 9,1115 12,18 12,18 111,03897 110,97807 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-24 9,1135 9,1085 12,23 12,23 111,458105 111,396955 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-29 9,1315 9,1265 12,25 12,25 111,860875 111,799625 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-30 9,1425 9,1375 12,26 12,26 112,08705 112,02575 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-03-31 9,1405 9,1355 12,33 12,33 112,702365 112,640715 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-01 9,1645 9,1595 12,41 12,41 113,731445 113,669395 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-04 9,1695 9,1645 12,37 12,37 113,426715 113,364865 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-05 9,1745 9,1695 12,45 12,45 114,222525 114,160275 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-06 9,1705 9,1655 12,51 12,51 114,722955 114,660405 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-07 9,1505 9,1455 12,52 12,52 114,56426 114,50166 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-08 9,1625 9,1575 12,56 12,56 115,081 115,0182 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-11 9,1705 9,1655 12,56 12,56 115,18148 115,11868 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-12 9,1525 9,1475 12,55 12,55 114,863875 114,801125 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-13 9,1495 9,1445 12,62 12,62 115,46669 115,40359 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-14 9,1685 9,1635 12,54 12,54 114,97299 114,91029 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-15 9,1925 9,1875 12,34 12,34 113,43545 113,37375 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-18 9,1805 9,1755 12,09 12,09 110,992245 110,931795 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-19 9,2035 9,1985 12,17 12,17 112,006595 111,945745 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-20 9,1915 9,1865 12,14 12,14 111,58481 111,52411 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-21 9,1855 9,1805 12,08 12,08 110,96084 110,90044 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-22 9,1625 9,1575 12,15 12,15 111,324375 111,263625 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-25 9,1685 9,1635 12,18 12,18 111,67233 111,61143 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-26 9,1375 9,1325 12,11 12,11 110,655125 110,594575 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-27 9,1465 9,1415 11,92 11,92 109,02628 108,96668 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-28 9,1505 9,1455 11,86 11,86 108,52493 108,46563 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-04-29 9,1705 9,1655 11,88 11,88 108,94554 108,88614 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-03 9,2245 9,2195 11,96 11,96 110,32502 110,26522 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-04 9,1915 9,1865 12,01 12,01 110,389915 110,329865 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-06 9,1715 9,1665 12,04 12,04 110,42486 110,36466 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-09 9,1815 9,1765 12,03 12,03 110,453445 110,393295 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-10 9,1985 9,1935 11,99 11,99 110,290015 110,230065 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-11 9,2105 9,2055 11,98 11,98 110,34179 110,28189 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-12 9,2315 9,2265 12,05 12,05 111,239575 111,179325 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-13 9,2045 9,1995 12,03 12,03 110,730135 110,669985 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-16 9,2145 9,2095 11,98 11,98 110,38971 110,32981 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-17 9,2325 9,2275 11,98 11,98 110,60535 110,54545 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-18 9,2095 9,2045 12,07 12,07 111,158665 111,098315 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-19 9,1905 9,1855 12,15 12,15 111,664575 111,603825 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-20 9,1955 9,1905 12,16 12,16 111,81728 111,75648 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-23 9,1805 9,1755 12,21 12,21 112,093905 112,032855 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-24 9,1815 9,1765 12,25 12,25 112,473375 112,412125 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-25 9,1785 9,1735 12,3 12,3 112,89555 112,83405 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-26 9,1945 9,1895 12,39 12,39 113,919855 113,857905 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-27 9,1955 9,1905 12,41 12,41 114,116155 114,054105 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-05-31 9,1665 9,1615 12,52 12,52 114,76458 114,70198 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-01 9,1455 9,1405 12,64 12,64 115,59912 115,53592 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-02 9,1565 9,1515 12,67 12,67 116,012855 115,949505 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-03 9,1315 9,1265 12,67 12,67 115,696105 115,632755 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-07 9,1455 9,1405 12,78 12,78 116,87949 116,81559 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-08 9,1455 9,1405 12,8 12,8 117,0624 116,9984 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-09 9,1965 9,1915 12,8 12,8 117,7152 117,6512 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-10 9,1975 9,1925 12,89 12,89 118,555775 118,491325 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-13 9,2365 9,2315 13,01 13,01 120,166865 120,101815 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-14 9,2985 9,2935 13,04 13,04 121,25244 121,18724 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-15 9,2695 9,2645 13,03 13,03 120,781585 120,716435 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-16 9,2695 9,2645 13,12 13,12 121,61584 121,55024 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-17 9,2695 9,2645 13,13 13,13 121,708535 121,642885 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-20 9,2255 9,2205 13,17 13,17 121,499835 121,433985 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-21 9,2725 9,2675 13,18 13,18 122,21155 122,14565 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-22 9,2615 9,2565 13,18 13,18 122,06657 122,00067 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-23 9,3535 9,3485 13,23 13,23 123,746805 123,680655 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-27 9,3855 9,3805 13,04 13,04 122,38692 122,32172 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-28 9,3995 9,3945 13,11 13,11 123,227445 123,161895 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-29 9,4215 9,4165 13,13 13,13 123,704295 123,638645 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-06-30 9,4415 9,4365 13,12 13,12 123,87248 123,80688 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-01 9,4595 9,4545 13,23 13,23 125,149185 125,083035 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-04 9,4795 9,4745 13,25 13,25 125,603375 125,537125 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-05 9,4575 9,4525 13,25 13,25 125,311875 125,245625 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-06 9,4195 9,4145 13,37 13,37 125,938715 125,871865 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-07 9,3965 9,3915 13,16 13,16 123,65794 123,59214 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-08 9,4175 9,4125 13,32 13,32 125,4411 125,3745 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-11 9,4665 9,4615 13,41 13,41 126,945765 126,878715 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-12 9,4645 9,4595 13,4 13,4 126,8243 126,7573 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-13 9,3915 9,3865 13,47 13,47 126,503505 126,436155 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-14 9,3675 9,3625 13,49 13,49 126,367575 126,300125 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-15 9,4055 9,4005 13,46 13,46 126,59803 126,53073 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-18 9,3895 9,3845 13,43 13,43 126,100985 126,033835 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-19 9,4425 9,4375 13,47 13,47 127,190475 127,123125 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-20 9,4265 9,4215 13,45 13,45 126,786425 126,719175 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-21 9,4625 9,4575 13,49 13,49 127,649125 127,581675 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-22 9,4495 9,4445 13,53 13,53 127,851735 127,784085 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-25 9,4275 9,4225 13,55 13,55 127,742625 127,674875 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-26 9,4155 9,4105 13,57 13,57 127,768335 127,700485 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-27 9,4725 9,4675 13,67 13,67 129,489075 129,420725 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-28 9,4515 9,4465 13,71 13,71 129,580065 129,511515 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-07-29 9,3885 9,3835 13,72 13,72 128,81022 128,74162 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-02 9,3995 9,3945 13,82 13,82 129,90109 129,83199 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-03 9,3755 9,3705 13,87 13,87 130,038185 129,968835 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-04 9,3735 9,3685 13,81 13,81 129,448035 129,378985 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-05 9,3355 9,3305 13,73 13,73 128,176415 128,107765 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-08 9,3335 9,3285 13,79 13,79 128,708965 128,640015 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-09 9,3455 9,3405 13,86 13,86 129,52863 129,45933 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-10 9,3535 9,3485 13,94 13,94 130,38779 130,31809 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-11 9,3365 9,3315 13,87 13,87 129,497255 129,427905 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-12 9,3025 9,2975 13,89 13,89 129,211725 129,142275 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-15 9,3065 9,3015 13,92 13,92 129,54648 129,47688 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-16 9,2995 9,2945 13,95 13,95 129,728025 129,658275 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-17 9,3405 9,3355 13,92 13,92 130,01976 129,95016 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-18 9,3365 9,3315 13,89 13,89 129,683985 129,614535 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-19 9,3395 9,3345 13,96 13,96 130,37942 130,30962 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-22 9,3655 9,3605 14,02 14,02 131,30431 131,23421 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-23 9,3715 9,3665 14,02 14,02 131,38843 131,31833 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-24 9,3365 9,3315 13,97 13,97 130,430905 130,361055 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-25 9,3335 9,3285 13,9 13,9 129,73565 129,66615 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-26 9,3415 9,3365 13,91 13,91 129,940265 129,870715 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-30 9,3285 9,3235 13,97 13,97 130,319145 130,249295 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-08-31 9,3585 9,3535 14,04 14,04 131,39334 131,32314 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-01 9,3365 9,3315 14,16 14,16 132,20484 132,13404 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-02 9,3025 9,2975 14,17 14,17 131,816425 131,745575 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-05 9,2845 9,2795 14,19 14,19 131,747055 131,676105 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-06 9,3225 9,3175 14,25 14,25 132,845625 132,774375 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-07 9,3075 9,3025 14,33 14,33 133,376475 133,304825 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-08 9,3255 9,3205 14,3 14,3 133,35465 133,28315 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-09 9,3445 9,3395 14,38 14,38 134,37391 134,30201 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-12 9,3015 9,2965 14,43 14,43 134,220645 134,148495 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-13 9,3015 9,2965 14,35 14,35 133,476525 133,404775 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-14 9,3365 9,3315 14,35 14,35 133,978775 133,907025 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-15 9,3425 9,3375 14,35 14,35 134,064875 133,993125 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-16 9,3465 9,3415 14,41 14,41 134,683065 134,611015 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-19 9,3355 9,3305 14,45 14,45 134,897975 134,825725 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-20 9,3395 9,3345 14,48 14,48 135,23596 135,16356 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-21 9,3405 9,3355 14,4 14,4 134,5032 134,4312 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-22 9,3405 9,3355 14,31 14,31 133,662555 133,591005 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-23 9,3695 9,3645 14,33 14,33 134,264935 134,193285 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-26 9,3815 9,3765 14,42 14,42 135,28123 135,20913 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-27 9,3885 9,3835 14,41 14,41 135,288285 135,216235 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-28 9,3935 9,3885 14,51 14,51 136,299685 136,227135 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-29 9,3845 9,3795 14,51 14,51 136,169095 136,096545 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-09-30 9,3435 9,3385 14,6 14,6 136,4151 136,3421 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-03 9,3025 9,2975 14,7 14,7 136,74675 136,67325 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-04 9,3185 9,3135 14,76 14,76 137,54106 137,46726 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-05 9,3105 9,3055 14,64 14,64 136,30572 136,23252 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-06 9,3015 9,2965 14,42 14,42 134,12763 134,05553 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-07 9,3385 9,3335 14,35 14,35 134,007475 133,935725 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-10 9,3465 9,3415 14,39 14,39 134,496135 134,424185 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-11 9,3395 9,3345 14,44 14,44 134,86238 134,79018 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-12 9,3375 9,3325 14,39 14,39 134,366625 134,294675 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-13 9,3815 9,3765 14,17 14,17 132,935855 132,865005 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-14 9,4135 9,4085 14,16 14,16 133,29516 133,22436 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-17 9,4575 9,4525 14,15 14,15 133,823625 133,752875 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-18 9,4625 9,4575 14,13 14,13 133,705125 133,634475 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-19 9,4605 9,4555 13,8 13,8 130,5549 130,4859 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-20 9,4935 9,4885 13,93 13,93 132,244455 132,174805 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-21 9,4915 9,4865 13,82 13,82 131,17253 131,10343 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-24 9,5455 9,5405 13,98 13,98 133,44609 133,37619 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-25 9,5465 9,5415 13,98 13,98 133,46007 133,39017 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-26 9,4975 9,4925 14,04 14,04 133,3449 133,2747 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-27 9,5355 9,5305 13,84 13,84 131,97132 131,90212 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-10-28 9,5135 9,5085 13,79 13,79 131,191165 131,122215 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-01 9,5495 9,5445 14,09 14,09 134,552455 134,482005 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-02 9,5855 9,5805 14,19 14,19 136,018245 135,947295 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-03 9,6515 9,6465 14,36 14,36 138,59554 138,52374 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-04 9,5875 9,5825 14,35 14,35 137,580625 137,508875 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-07 9,6075 9,6025 14,39 14,39 138,251925 138,179975 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-08 9,5685 9,5635 14,41 14,41 137,882085 137,810035 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-09 9,5575 9,5525 14,4 14,4 137,628 137,556 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-10 9,6105 9,6055 14,43 14,43 138,679515 138,607365 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-11 9,6365 9,6315 14,55 14,55 140,211075 140,138325 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-14 9,5505 9,5455 14,57 14,57 139,150785 139,077935 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-15 9,5805 9,5755 14,55 14,55 139,396275 139,323525 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-16 9,6235 9,6185 14,44 14,44 138,96334 138,89114 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-17 9,6355 9,6305 14,5 14,5 139,71475 139,64225 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-18 9,6085 9,6035 14,55 14,55 139,803675 139,730925 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-21 9,5915 9,5865 14,58 14,58 139,84407 139,77117 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-22 9,5585 9,5535 14,59 14,59 139,458515 139,385565 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-23 9,5155 9,5105 14,65 14,65 139,402075 139,328825 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-24 9,5125 9,5075 14,67 14,67 139,548375 139,475025 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-25 9,4965 9,4915 14,72 14,72 139,78848 139,71488 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-28 9,4835 9,4785 14,67 14,67 139,122945 139,049595 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-29 9,4785 9,4735 14,69 14,69 139,239165 139,165715 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-11-30 9,5295 9,5245 14,7 14,7 140,08365 140,01015 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-01 9,5165 9,5115 14,86 14,86 141,41519 141,34089 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-02 9,4905 9,4855 14,99 14,99 142,262595 142,187645 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-05 9,4065 9,4015 14,98 14,98 140,90937 140,83447 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-06 9,4185 9,4135 15,02 15,02 141,46587 141,39077 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-07 9,4255 9,4205 15,04 15,04 141,75952 141,68432 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-08 9,3965 9,3915 15 15 140,9475 140,8725 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-12 9,4315 9,4265 15,08 15,08 142,22702 142,15162 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-13 9,4295 9,4245 15,1 15,1 142,38545 142,30995 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-14 9,4365 9,4315 15,06 15,06 142,11369 142,03839 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-15 9,4345 9,4295 15,07 15,07 142,177915 142,102565 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-16 9,4765 9,4715 15,14 15,14 143,47421 143,39851 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-19 9,4535 9,4485 15,13 15,13 143,031455 142,955805 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-20 9,4015 9,3965 15,19 15,19 142,808785 142,732835 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-21 9,4485 9,4435 15,26 15,26 144,18411 144,10781 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-22 9,4365 9,4315 15,25 15,25 143,906625 143,830375 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-23 9,4425 9,4375 15,29 15,29 144,375825 144,299375 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-29 9,4115 9,4065 15,38 15,38 144,74887 144,67197 509307 AXA Rosenberg Management Ireland Limited AXA Rosenberg Pan-European Small Cap Alpha Fund EUR 2005-12-30 9,4325 9,4275 15,34 15,34 144,69455 144,61785 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-04 12,8005 12,7855 9,62 9,62 123,14081 122,99651 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-05 12,8355 12,8205 9,55 9,55 122,579025 122,435775 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-07 12,8955 12,8805 9,64 9,64 124,31262 124,16802 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-10 13,03576 13,02076 9,62 9,62 125,4040112 125,2597112 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-11 13,03576 13,02076 9,59 9,59 125,0129384 124,8690884 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-12 12,9275 12,9125 9,56 9,56 123,5869 123,4435 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-13 12,9275 12,9125 9,59 9,59 123,974725 123,830875 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-14 12,9175 12,9025 9,64 9,64 124,5247 124,3801 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-17 12,9455 12,9305 9,69 9,69 125,441895 125,296545 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-18 12,9175 12,9025 9,65 9,65 124,653875 124,509125 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-19 12,9275 12,9125 9,65 9,65 124,750375 124,605625 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-20 12,9955 12,9805 9,62 9,62 125,01671 124,87241 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-21 13,0555 13,0405 9,64 9,64 125,85502 125,71042 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-24 13,0525 13,0375 9,66 9,66 126,08715 125,94225 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-25 13,0575 13,0425 9,7 9,7 126,65775 126,51225 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-26 13,0755 13,0605 9,7 9,7 126,83235 126,68685 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-27 13,0475 13,0325 9,7 9,7 126,56075 126,41525 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-28 13,1705 13,1555 9,66 9,66 127,22703 127,08213 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-01-31 13,1875 13,1725 9,7 9,7 127,91875 127,77325 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-01 13,1555 13,1405 9,81 9,81 129,055455 128,908305 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-02 13,1025 13,0875 9,83 9,83 128,797575 128,650125 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-03 13,1225 13,1075 9,82 9,82 128,86295 128,71565 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-04 13,1855 13,1705 9,89 9,89 130,404595 130,256245 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-07 13,2305 13,2155 9,96 9,96 131,77578 131,62638 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-08 13,2175 13,2025 10 10 132,175 132,025 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-09 13,1775 13,1625 9,98 9,98 131,51145 131,36175 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-10 13,1855 13,1705 10 10 131,855 131,705 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-11 13,2155 13,2005 10,09 10,09 133,344395 133,193045 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-14 13,2175 13,2025 10,09 10,09 133,364575 133,213225 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-15 13,2175 13,2025 10,11 10,11 133,628925 133,477275 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-16 13,1905 13,1755 10,11 10,11 133,355955 133,204305 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-17 13,1605 13,1455 10,13 10,13 133,315865 133,163915 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-18 13,2005 13,1855 10,13 10,13 133,721065 133,569115 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-21 13,2475 13,2325 10,11 10,11 133,932225 133,780575 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-22 13,1575 13,1425 10,06 10,06 132,36445 132,21355 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-23 13,1405 13,1255 9,99 9,99 131,273595 131,123745 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-24 13,0725 13,0575 9,96 9,96 130,2021 130,0527 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-25 13,1575 13,1425 10,04 10,04 132,1013 131,9507 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-02-28 13,1325 13,1175 9,99 9,99 131,193675 131,043825 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-01 13,1855 13,1705 10,06 10,06 132,64613 132,49523 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-02 13,2105 13,1955 10,03 10,03 132,501315 132,350865 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-03 13,1875 13,1725 10,06 10,06 132,66625 132,51535 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-04 13,1505 13,1355 10,12 10,12 133,08306 132,93126 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-07 13,1305 13,1155 10,09 10,09 132,486745 132,335395 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-08 13,0925 13,0775 10,06 10,06 131,71055 131,55965 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-09 13,0505 13,0355 10,05 10,05 131,157525 131,006775 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-10 13,0175 13,0025 9,96 9,96 129,6543 129,5049 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-11 12,9975 12,9825 10,01 10,01 130,104975 129,954825 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-14 12,9805 12,9655 9,99 9,99 129,675195 129,525345 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-15 13,0475 13,0325 10,02 10,02 130,73595 130,58565 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-16 13,0825 13,0675 9,96 9,96 130,3017 130,1523 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-18 13,0955 13,0805 9,93 9,93 130,038315 129,889365 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-21 13,1805 13,1655 9,95 9,95 131,145975 130,996725 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-22 13,1605 13,1455 9,94 9,94 130,81537 130,66627 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-23 13,1455 13,1305 9,87 9,87 129,746085 129,598035 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-24 13,1205 13,1055 9,89 9,89 129,761745 129,613395 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-29 13,2125 13,1975 9,89 9,89 130,671625 130,523275 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-30 13,2575 13,2425 9,85 9,85 130,586375 130,438625 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-03-31 13,2725 13,2575 9,87 9,87 130,999575 130,851525 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-01 13,3525 13,3375 9,9 9,9 132,18975 132,04125 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-04 13,3575 13,3425 9,87 9,87 131,838525 131,690475 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-05 13,4255 13,4105 9,95 9,95 133,583725 133,434475 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-06 13,4155 13,4005 9,96 9,96 133,61838 133,46898 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-07 13,3375 13,3225 10,02 10,02 133,64175 133,49145 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-08 13,3655 13,3505 10,02 10,02 133,92231 133,77201 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-11 13,3755 13,3605 9,99 9,99 133,621245 133,471395 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-12 13,3375 13,3225 9,94 9,94 132,57475 132,42565 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-13 13,3955 13,3805 9,96 9,96 133,41918 133,26978 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-14 13,4505 13,4355 9,9 9,9 133,15995 133,01145 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-15 13,4925 13,4775 9,78 9,78 131,95665 131,80995 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-18 13,4225 13,4075 9,63 9,63 129,258675 129,114225 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-19 13,4855 13,4705 9,69 9,69 130,674495 130,529145 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-20 13,5005 13,4855 9,63 9,63 130,009815 129,865365 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-21 13,4575 13,4425 9,62 9,62 129,46115 129,31685 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-22 13,4125 13,3975 9,68 9,68 129,833 129,6878 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-25 13,4775 13,4625 9,72 9,72 131,0013 130,8555 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-26 13,4225 13,4075 9,65 9,65 129,527125 129,382375 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-27 13,4605 13,4455 9,54 9,54 128,41317 128,27007 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-28 13,4755 13,4605 9,51 9,51 128,152005 128,009355 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-04-29 13,5405 13,5255 9,53 9,53 129,040965 128,898015 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-03 13,5955 13,5805 9,65 9,65 131,196575 131,051825 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-04 13,4925 13,4775 9,72 9,72 131,1471 131,0013 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-06 13,4375 13,4225 9,76 9,76 131,15 131,0036 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-09 13,5205 13,5055 9,75 9,75 131,824875 131,678625 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-10 13,4755 13,4605 9,73 9,73 131,116615 130,970665 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-11 13,4805 13,4655 9,69 9,69 130,626045 130,480695 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-12 13,4955 13,4805 9,73 9,73 131,311215 131,165265 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-13 13,5205 13,5055 9,7 9,7 131,14885 131,00335 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-16 13,4775 13,4625 9,7 9,7 130,73175 130,58625 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-17 13,4375 13,4225 9,72 9,72 130,6125 130,4667 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-18 13,3805 13,3655 9,83 9,83 131,530315 131,382865 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-19 13,3505 13,3355 9,87 9,87 131,769435 131,621385 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-20 13,3655 13,3505 9,89 9,89 132,184795 132,036445 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-23 13,3775 13,3625 9,96 9,96 133,2399 133,0905 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-24 13,3605 13,3455 9,96 9,96 133,07058 132,92118 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-25 13,3405 13,3255 9,95 9,95 132,737975 132,588725 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-26 13,3655 13,3505 10 10 133,655 133,505 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-27 13,3855 13,3705 9,99 9,99 133,721145 133,571295 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-05-31 13,4475 13,4325 9,96 9,96 133,9371 133,7877 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-01 13,5155 13,5005 10,06 10,06 135,96593 135,81503 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-02 13,5755 13,5605 10,07 10,07 136,705285 136,554235 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-03 13,5255 13,5105 10,06 10,06 136,06653 135,91563 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-07 13,6225 13,6075 10,1 10,1 137,58725 137,43575 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-08 13,6505 13,6355 10,08 10,08 137,59704 137,44584 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-09 13,7225 13,7075 10,09 10,09 138,460025 138,308675 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-10 13,6925 13,6775 10,13 10,13 138,705025 138,553075 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-13 13,8305 13,8155 10,19 10,19 140,932795 140,779945 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-14 13,8625 13,8475 10,19 10,19 141,258875 141,106025 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-15 13,9175 13,9025 10,15 10,15 141,262625 141,110375 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-16 13,9605 13,9455 10,21 10,21 142,536705 142,383555 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-17 13,9355 13,9205 10,16 10,16 141,58468 141,43228 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-20 13,7705 13,7555 10,27 10,27 141,423035 141,268985 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-21 13,9325 13,9175 10,27 10,27 143,086775 142,932725 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-22 13,9175 13,9025 10,31 10,31 143,489425 143,334775 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-23 14,0705 14,0555 10,35 10,35 145,629675 145,474425 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-27 14,1125 14,0975 10,21 10,21 144,088625 143,935475 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-28 14,1355 14,1205 10,3 10,3 145,59565 145,44115 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-29 14,2175 14,2025 10,32 10,32 146,7246 146,5698 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-06-30 14,1205 14,1055 10,36 10,36 146,28838 146,13298 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-01 13,9625 13,9475 10,47 10,47 146,187375 146,030325 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-04 14,0055 13,9905 10,51 10,51 147,197805 147,040155 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-05 13,9575 13,9425 10,5 10,5 146,55375 146,39625 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-06 13,8755 13,8605 10,61 10,61 147,219055 147,059905 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-07 13,7955 13,7805 10,46 10,46 144,30093 144,14403 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-08 13,7455 13,7305 10,62 10,62 145,97721 145,81791 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-11 13,7425 13,7275 10,64 10,64 146,2202 146,0606 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-12 13,7325 13,7175 10,6 10,6 145,5645 145,4055 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-13 13,6455 13,6305 10,65 10,65 145,324575 145,164825 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-14 13,6705 13,6555 10,67 10,67 145,864235 145,704185 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-15 13,6805 13,6655 10,61 10,61 145,150105 144,990955 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-18 13,6225 13,6075 10,56 10,56 143,8536 143,6952 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-19 13,7025 13,6875 10,53 10,53 144,287325 144,129375 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-20 13,5825 13,5675 10,55 10,55 143,295375 143,137125 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-21 13,5825 13,5675 10,58 10,58 143,70285 143,54415 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-22 13,6105 13,5955 10,62 10,62 144,54351 144,38421 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-25 13,5875 13,5725 10,65 10,65 144,706875 144,547125 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-26 13,6305 13,6155 10,64 10,64 145,02852 144,86892 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-27 13,7055 13,6905 10,67 10,67 146,237685 146,077635 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-28 13,6655 13,6505 10,66 10,66 145,67423 145,51433 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-07-29 13,5975 13,5825 10,69 10,69 145,357275 145,196925 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-02 13,6355 13,6205 10,77 10,77 146,854335 146,692785 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-03 13,6005 13,5855 10,81 10,81 147,021405 146,859255 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-04 13,5175 13,5025 10,77 10,77 145,583475 145,421925 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-05 13,4275 13,4125 10,79 10,79 144,882725 144,720875 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-08 13,4375 13,4225 10,82 10,82 145,39375 145,23145 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-09 13,4755 13,4605 10,86 10,86 146,34393 146,18103 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-10 13,5305 13,5155 10,92 10,92 147,75306 147,58926 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-11 13,5455 13,5305 10,87 10,87 147,239585 147,076535 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-12 13,5225 13,5075 10,84 10,84 146,5839 146,4213 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-15 13,6175 13,6025 10,84 10,84 147,6137 147,4511 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-16 13,6355 13,6205 10,8 10,8 147,2634 147,1014 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-17 13,7125 13,6975 10,76 10,76 147,5465 147,3851 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-18 13,7405 13,7255 10,71 10,71 147,160755 147,000105 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-19 13,7775 13,7625 10,79 10,79 148,659225 148,497375 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-22 13,8405 13,8255 10,8 10,8 149,4774 149,3154 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-23 13,7805 13,7655 10,78 10,78 148,55379 148,39209 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-24 13,7555 13,7405 10,75 10,75 147,871625 147,710375 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-25 13,7055 13,6905 10,7 10,7 146,64885 146,48835 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-26 13,6875 13,6725 10,67 10,67 146,045625 145,885575 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-30 13,6825 13,6675 10,73 10,73 146,813225 146,652275 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-08-31 13,6805 13,6655 10,82 10,82 148,02301 147,86071 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-01 13,6375 13,6225 10,88 10,88 148,376 148,2128 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-02 13,6475 13,6325 10,86 10,86 148,21185 148,04895 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-05 13,6855 13,6705 10,87 10,87 148,761385 148,598335 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-06 13,7625 13,7475 10,89 10,89 149,873625 149,710275 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-07 13,7105 13,6955 10,9 10,9 149,44445 149,28095 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-08 13,7855 13,7705 10,84 10,84 149,43482 149,27222 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-09 13,8275 13,8125 10,9 10,9 150,71975 150,55625 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-12 13,8055 13,7905 10,92 10,92 150,75606 150,59226 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-13 13,7805 13,7655 10,84 10,84 149,38062 149,21802 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-14 13,8805 13,8655 10,86 10,86 150,74223 150,57933 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-15 13,8955 13,8805 10,95 10,95 152,155725 151,991475 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-16 13,7905 13,7755 11,04 11,04 152,24712 152,08152 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-19 13,8555 13,8405 11,09 11,09 153,657495 153,491145 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-20 13,8775 13,8625 11,08 11,08 153,7627 153,5965 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-21 13,8375 13,8225 10,99 10,99 152,074125 151,909275 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-22 13,8355 13,8205 11 11 152,1905 152,0255 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-23 13,8055 13,7905 11,06 11,06 152,68883 152,52293 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-26 13,8325 13,8175 11,15 11,15 154,232375 154,065125 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-27 13,8205 13,8055 11,14 11,14 153,96037 153,79327 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-28 13,8275 13,8125 11,26 11,26 155,69765 155,52875 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-29 13,7475 13,7325 11,23 11,23 154,384425 154,215975 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-09-30 13,6775 13,6625 11,24 11,24 153,7351 153,5665 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-03 13,6775 13,6625 11,27 11,27 154,145425 153,976375 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-04 13,7375 13,7225 11,25 11,25 154,546875 154,378125 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-05 13,7405 13,7255 11,09 11,09 152,382145 152,215795 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-06 13,6705 13,6555 10,99 10,99 150,238795 150,073945 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-07 13,5955 13,5805 10,94 10,94 148,73477 148,57067 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-10 13,5675 13,5525 10,97 10,97 148,835475 148,670925 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-11 13,5855 13,5705 11,01 11,01 149,576355 149,411205 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-12 13,5955 13,5805 10,94 10,94 148,73477 148,57067 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-13 13,6675 13,6525 10,76 10,76 147,0623 146,9009 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-14 13,7555 13,7405 10,75 10,75 147,871625 147,710375 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-17 13,8475 13,8325 10,79 10,79 149,414525 149,252675 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-18 13,8225 13,8075 10,76 10,76 148,7301 148,5687 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-19 13,8975 13,8825 10,51 10,51 146,062725 145,905075 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-20 13,9905 13,9755 10,54 10,54 147,45987 147,30177 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-21 14,0025 13,9875 10,5 10,5 147,02625 146,86875 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-24 14,1375 14,1225 10,65 10,65 150,564375 150,404625 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-25 14,1225 14,1075 10,61 10,61 149,839725 149,680575 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-26 13,9955 13,9805 10,75 10,75 150,451625 150,290375 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-27 14,0405 14,0255 10,63 10,63 149,250515 149,091065 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-10-28 13,9655 13,9505 10,66 10,66 148,87223 148,71233 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-01 14,1055 14,0905 11,01 11,01 155,301555 155,136405 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-02 14,0775 14,0625 11,06 11,06 155,69715 155,53125 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-03 14,2125 14,1975 11,19 11,19 159,037875 158,870025 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-04 14,1905 14,1755 11,15 11,15 158,224075 158,056825 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-07 14,2275 14,2125 11,23 11,23 159,774825 159,606375 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-08 14,1725 14,1575 11,24 11,24 159,2989 159,1303 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-09 14,1525 14,1375 11,2 11,2 158,508 158,34 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-10 14,2425 14,2275 11,18 11,18 159,23115 159,06345 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-11 14,3475 14,3325 11,28 11,28 161,8398 161,6706 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-14 14,1905 14,1755 11,31 11,31 160,494555 160,324905 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-15 14,2325 14,2175 11,28 11,28 160,5426 160,3734 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-16 14,2475 14,2325 11,24 11,24 160,1419 159,9733 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-17 14,1855 14,1705 11,31 11,31 160,438005 160,268355 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-18 14,0775 14,0625 11,38 11,38 160,20195 160,03125 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-21 13,9755 13,9605 11,39 11,39 159,180945 159,010095 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-22 13,9775 13,9625 11,42 11,42 159,62305 159,45175 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-23 13,8705 13,8555 11,47 11,47 159,094635 158,922585 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-24 13,8725 13,8575 11,46 11,46 158,97885 158,80695 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-25 13,8775 13,8625 11,47 11,47 159,174925 159,002875 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-28 13,8505 13,8355 11,38 11,38 157,61869 157,44799 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-29 13,8325 13,8175 11,42 11,42 157,96715 157,79585 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-11-30 13,9255 13,9105 11,29 11,29 157,218895 157,049545 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-01 13,9955 13,9805 11,41 11,41 159,688655 159,517505 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-02 14,0055 13,9905 11,48 11,48 160,78314 160,61094 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-05 13,9175 13,9025 11,45 11,45 159,355375 159,183625 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-06 13,9455 13,9305 11,51 11,51 160,512705 160,340055 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-07 13,9105 13,8955 11,5 11,5 159,97075 159,79825 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-08 13,8955 13,8805 11,47 11,47 159,381385 159,209335 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-12 14,0125 13,9975 11,42 11,42 160,02275 159,85145 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-13 14,0075 13,9925 11,44 11,44 160,2458 160,0742 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-14 13,9555 13,9405 11,47 11,47 160,069585 159,897535 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-15 13,9105 13,8955 11,43 11,43 158,997015 158,825565 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-16 13,9755 13,9605 11,5 11,5 160,71825 160,54575 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-19 13,9125 13,8975 11,51 11,51 160,132875 159,960225 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-20 13,8225 13,8075 11,52 11,52 159,2352 159,0624 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-21 13,9605 13,9455 11,62 11,62 162,22101 162,04671 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-22 13,8975 13,8825 11,66 11,66 162,04485 161,86995 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-23 13,8255 13,8105 11,67 11,67 161,343585 161,168535 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-29 13,6655 13,6505 11,74 11,74 160,43297 160,25687 545137 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Equity Alpha Fund GBP 2005-12-30 13,7405 13,7255 11,7 11,7 160,76385 160,58835 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-04 12,8005 12,7855 17,81 17,81 227,976905 227,709755 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-05 12,8355 12,8205 17,75 17,75 227,830125 227,563875 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-07 12,8955 12,8805 17,78 17,78 229,28199 229,01529 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-10 13,03576 13,02076 17,82 17,82 232,2972432 232,0299432 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-11 13,03576 13,02076 17,86 17,86 232,8186736 232,5507736 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-12 12,9275 12,9125 17,94 17,94 231,91935 231,65025 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-13 12,9275 12,9125 17,98 17,98 232,43645 232,16675 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-14 12,9175 12,9025 18,02 18,02 232,77335 232,50305 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-17 12,9455 12,9305 18,17 18,17 235,219735 234,947185 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-18 12,9175 12,9025 18,12 18,12 234,0651 233,7933 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-19 12,9275 12,9125 18,21 18,21 235,409775 235,136625 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-20 12,9955 12,9805 18,32 18,32 238,07756 237,80276 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-21 13,0555 13,0405 18,34 18,34 239,43787 239,16277 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-24 13,0525 13,0375 18,34 18,34 239,38285 239,10775 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-25 13,0575 13,0425 18,36 18,36 239,7357 239,4603 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-26 13,0755 13,0605 18,45 18,45 241,242975 240,966225 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-27 13,0475 13,0325 18,48 18,48 241,1178 240,8406 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-28 13,1705 13,1555 18,52 18,52 243,91766 243,63986 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-01-31 13,1875 13,1725 18,6 18,6 245,2875 245,0085 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-01 13,1555 13,1405 18,73 18,73 246,402515 246,121565 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-02 13,1025 13,0875 18,83 18,83 246,720075 246,437625 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-03 13,1225 13,1075 18,85 18,85 247,359125 247,076375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-04 13,1855 13,1705 18,92 18,92 249,46966 249,18586 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-07 13,2305 13,2155 19 19 251,3795 251,0945 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-08 13,2175 13,2025 19,07 19,07 252,057725 251,771675 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-09 13,1775 13,1625 19,1 19,1 251,69025 251,40375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-10 13,1855 13,1705 19,12 19,12 252,10676 251,81996 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-11 13,2155 13,2005 19,15 19,15 253,076825 252,789575 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-14 13,2175 13,2025 19,07 19,07 252,057725 251,771675 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-15 13,2175 13,2025 19 19 251,1325 250,8475 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-16 13,1905 13,1755 18,92 18,92 249,56426 249,28046 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-17 13,1605 13,1455 18,94 18,94 249,25987 248,97577 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-18 13,2005 13,1855 18,97 18,97 250,413485 250,128935 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-21 13,2475 13,2325 18,95 18,95 251,040125 250,755875 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-22 13,1575 13,1425 18,9 18,9 248,67675 248,39325 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-23 13,1405 13,1255 18,77 18,77 246,647185 246,365635 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-24 13,0725 13,0575 18,85 18,85 246,416625 246,133875 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-25 13,1575 13,1425 19 19 249,9925 249,7075 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-02-28 13,1325 13,1175 19 19 249,5175 249,2325 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-01 13,1855 13,1705 19,05 19,05 251,183775 250,898025 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-02 13,2105 13,1955 19,04 19,04 251,52792 251,24232 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-03 13,1875 13,1725 19,04 19,04 251,09 250,8044 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-04 13,1505 13,1355 19,17 19,17 252,095085 251,807535 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-07 13,1305 13,1155 19,21 19,21 252,236905 251,948755 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-08 13,0925 13,0775 19,12 19,12 250,3286 250,0418 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-09 13,0505 13,0355 19,19 19,19 250,439095 250,151245 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-10 13,0175 13,0025 19,09 19,09 248,504075 248,217725 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-11 12,9975 12,9825 19,19 19,19 249,422025 249,134175 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-14 12,9805 12,9655 19,17 19,17 248,836185 248,548635 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-15 13,0475 13,0325 19,11 19,11 249,337725 249,051075 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-16 13,0825 13,0675 19,04 19,04 249,0908 248,8052 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-18 13,0955 13,0805 19,03 19,03 249,207365 248,921915 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-21 13,1805 13,1655 19,04 19,04 250,95672 250,67112 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-22 13,1605 13,1455 18,94 18,94 249,25987 248,97577 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-23 13,1455 13,1305 18,7 18,7 245,82085 245,54035 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-24 13,1205 13,1055 18,75 18,75 246,009375 245,728125 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-29 13,2125 13,1975 18,64 18,64 246,281 246,0014 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-30 13,2575 13,2425 18,51 18,51 245,396325 245,118675 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-03-31 13,2725 13,2575 18,65 18,65 247,532125 247,252375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-01 13,3525 13,3375 18,71 18,71 249,825275 249,544625 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-04 13,3575 13,3425 18,65 18,65 249,117375 248,837625 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-05 13,4255 13,4105 18,7 18,7 251,05685 250,77635 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-06 13,4155 13,4005 18,83 18,83 252,613865 252,331415 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-07 13,3375 13,3225 18,88 18,88 251,812 251,5288 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-08 13,3655 13,3505 18,8 18,8 251,2714 250,9894 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-11 13,3755 13,3605 18,72 18,72 250,38936 250,10856 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-12 13,3375 13,3225 18,74 18,74 249,94475 249,66365 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-13 13,3955 13,3805 18,78 18,78 251,56749 251,28579 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-14 13,4505 13,4355 18,71 18,71 251,658855 251,378205 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-15 13,4925 13,4775 18,52 18,52 249,8811 249,6033 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-18 13,4225 13,4075 18,21 18,21 244,423725 244,150575 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-19 13,4855 13,4705 18,31 18,31 246,919505 246,644855 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-20 13,5005 13,4855 18,36 18,36 247,86918 247,59378 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-21 13,4575 13,4425 18,36 18,36 247,0797 246,8043 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-22 13,4125 13,3975 18,47 18,47 247,728875 247,451825 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-25 13,4775 13,4625 18,43 18,43 248,390325 248,113875 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-26 13,4225 13,4075 18,38 18,38 246,70555 246,42985 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-27 13,4605 13,4455 18,18 18,18 244,71189 244,43919 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-28 13,4755 13,4605 18,05 18,05 243,232775 242,962025 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-04-29 13,5405 13,5255 17,92 17,92 242,64576 242,37696 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-03 13,5955 13,5805 17,98 17,98 244,44709 244,17739 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-04 13,4925 13,4775 17,9 17,9 241,51575 241,24725 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-06 13,4375 13,4225 17,82 17,82 239,45625 239,18895 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-09 13,5205 13,5055 17,82 17,82 240,93531 240,66801 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-10 13,4755 13,4605 17,72 17,72 238,78586 238,52006 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-11 13,4805 13,4655 17,81 17,81 240,087705 239,820555 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-12 13,4955 13,4805 17,91 17,91 241,704405 241,435755 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-13 13,5205 13,5055 17,85 17,85 241,340925 241,073175 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-16 13,4775 13,4625 17,82 17,82 240,16905 239,90175 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-17 13,4375 13,4225 17,77 17,77 238,784375 238,517825 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-18 13,3805 13,3655 17,72 17,72 237,10246 236,83666 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-19 13,3505 13,3355 17,72 17,72 236,57086 236,30506 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-20 13,3655 13,3505 17,75 17,75 237,237625 236,971375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-23 13,3775 13,3625 17,8 17,8 238,1195 237,8525 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-24 13,3605 13,3455 17,86 17,86 238,61853 238,35063 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-25 13,3405 13,3255 17,94 17,94 239,32857 239,05947 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-26 13,3655 13,3505 18,13 18,13 242,316515 242,044565 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-27 13,3855 13,3705 18,17 18,17 243,214535 242,941985 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-05-31 13,4475 13,4325 18,24 18,24 245,2824 245,0088 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-01 13,5155 13,5005 18,33 18,33 247,739115 247,464165 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-02 13,5755 13,5605 18,5 18,5 251,14675 250,86925 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-03 13,5255 13,5105 18,55 18,55 250,898025 250,619775 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-07 13,6225 13,6075 18,69 18,69 254,604525 254,324175 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-08 13,6505 13,6355 18,71 18,71 255,400855 255,120205 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-09 13,7225 13,7075 18,76 18,76 257,4341 257,1527 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-10 13,6925 13,6775 18,83 18,83 257,829775 257,547325 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-13 13,8305 13,8155 18,98 18,98 262,50289 262,21819 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-14 13,8625 13,8475 19 19 263,3875 263,1025 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-15 13,9175 13,9025 18,99 18,99 264,293325 264,008475 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-16 13,9605 13,9455 19,04 19,04 265,80792 265,52232 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-17 13,9355 13,9205 19,23 19,23 267,979665 267,691215 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-20 13,7705 13,7555 19,22 19,22 264,66901 264,38071 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-21 13,9325 13,9175 19,2 19,2 267,504 267,216 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-22 13,9175 13,9025 19,18 19,18 266,93765 266,64995 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-23 14,0705 14,0555 19,21 19,21 270,294305 270,006155 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-27 14,1125 14,0975 19,09 19,09 269,407625 269,121275 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-28 14,1355 14,1205 19,18 19,18 271,11889 270,83119 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-29 14,2175 14,2025 19,15 19,15 272,265125 271,977875 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-06-30 14,1205 14,1055 19,23 19,23 271,537215 271,248765 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-01 13,9625 13,9475 19,33 19,33 269,895125 269,605175 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-04 14,0055 13,9905 19,34 19,34 270,86637 270,57627 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-05 13,9575 13,9425 19,26 19,26 268,82145 268,53255 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-06 13,8755 13,8605 19,37 19,37 268,768435 268,477885 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-07 13,7955 13,7805 19,07 19,07 263,080185 262,794135 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-08 13,7455 13,7305 19,29 19,29 265,150695 264,861345 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-11 13,7425 13,7275 19,41 19,41 266,741925 266,450775 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-12 13,7325 13,7175 19,41 19,41 266,547825 266,256675 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-13 13,6455 13,6305 19,46 19,46 265,54143 265,24953 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-14 13,6705 13,6555 19,48 19,48 266,30134 266,00914 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-15 13,6805 13,6655 19,37 19,37 264,991285 264,700735 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-18 13,6225 13,6075 19,33 19,33 263,322925 263,032975 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-19 13,7025 13,6875 19,16 19,16 262,5399 262,2525 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-20 13,5825 13,5675 19,25 19,25 261,463125 261,174375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-21 13,5825 13,5675 19,28 19,28 261,8706 261,5814 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-22 13,6105 13,5955 19,39 19,39 263,907595 263,616745 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-25 13,5875 13,5725 19,4 19,4 263,5975 263,3065 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-26 13,6305 13,6155 19,42 19,42 264,70431 264,41301 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-27 13,7055 13,6905 19,5 19,5 267,25725 266,96475 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-28 13,6655 13,6505 19,61 19,61 267,980455 267,686305 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-07-29 13,5975 13,5825 19,68 19,68 267,5988 267,3036 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-02 13,6355 13,6205 19,71 19,71 268,755705 268,460055 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-03 13,6005 13,5855 19,75 19,75 268,609875 268,313625 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-04 13,5175 13,5025 19,71 19,71 266,429925 266,134275 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-05 13,4275 13,4125 19,73 19,73 264,924575 264,628625 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-08 13,4375 13,4225 19,74 19,74 265,25625 264,96015 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-09 13,4755 13,4605 19,83 19,83 267,219165 266,921715 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-10 13,5305 13,5155 19,87 19,87 268,851035 268,552985 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-11 13,5455 13,5305 19,75 19,75 267,523625 267,227375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-12 13,5225 13,5075 19,78 19,78 267,47505 267,17835 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-15 13,6175 13,6025 19,83 19,83 270,035025 269,737575 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-16 13,6355 13,6205 19,84 19,84 270,52832 270,23072 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-17 13,7125 13,6975 19,8 19,8 271,5075 271,2105 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-18 13,7405 13,7255 19,71 19,71 270,825255 270,529605 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-19 13,7775 13,7625 19,78 19,78 272,51895 272,22225 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-22 13,8405 13,8255 19,83 19,83 274,457115 274,159665 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-23 13,7805 13,7655 19,84 19,84 273,40512 273,10752 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-24 13,7555 13,7405 19,86 19,86 273,18423 272,88633 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-25 13,7055 13,6905 19,92 19,92 273,01356 272,71476 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-26 13,6875 13,6725 19,99 19,99 273,613125 273,313275 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-30 13,6825 13,6675 20,03 20,03 274,060475 273,760025 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-08-31 13,6805 13,6655 20,07 20,07 274,567635 274,266585 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-01 13,6375 13,6225 20,21 20,21 275,613875 275,310725 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-02 13,6475 13,6325 20,22 20,22 275,95245 275,64915 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-05 13,6855 13,6705 20,2 20,2 276,4471 276,1441 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-06 13,7625 13,7475 20,1 20,1 276,62625 276,32475 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-07 13,7105 13,6955 20,17 20,17 276,540785 276,238235 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-08 13,7855 13,7705 20,16 20,16 277,91568 277,61328 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-09 13,8275 13,8125 20,27 20,27 280,283425 279,979375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-12 13,8055 13,7905 20,28 20,28 279,97554 279,67134 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-13 13,7805 13,7655 20,19 20,19 278,228295 277,925445 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-14 13,8805 13,8655 20,19 20,19 280,247295 279,944445 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-15 13,8955 13,8805 20,2 20,2 280,6891 280,3861 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-16 13,7905 13,7755 20,26 20,26 279,39553 279,09163 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-19 13,8555 13,8405 20,26 20,26 280,71243 280,40853 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-20 13,8775 13,8625 20,28 20,28 281,4357 281,1315 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-21 13,8375 13,8225 20,16 20,16 278,964 278,6616 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-22 13,8355 13,8205 20,15 20,15 278,785325 278,483075 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-23 13,8055 13,7905 20,11 20,11 277,628605 277,326955 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-26 13,8325 13,8175 20,12 20,12 278,3099 278,0081 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-27 13,8205 13,8055 20,05 20,05 277,101025 276,800275 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-28 13,8275 13,8125 20,14 20,14 278,48585 278,18375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-29 13,7475 13,7325 20,11 20,11 276,462225 276,160575 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-09-30 13,6775 13,6625 20,16 20,16 275,7384 275,436 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-03 13,6775 13,6625 20,29 20,29 277,516475 277,212125 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-04 13,7375 13,7225 20,27 20,27 278,459125 278,155075 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-05 13,7405 13,7255 20,05 20,05 275,497025 275,196275 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-06 13,6705 13,6555 19,88 19,88 271,76954 271,47134 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-07 13,5955 13,5805 19,84 19,84 269,73472 269,43712 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-10 13,5675 13,5525 19,92 19,92 270,2646 269,9658 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-11 13,5855 13,5705 20,01 20,01 271,845855 271,545705 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-12 13,5955 13,5805 20,03 20,03 272,317865 272,017415 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-13 13,6675 13,6525 19,69 19,69 269,113075 268,817725 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-14 13,7555 13,7405 19,62 19,62 269,88291 269,58861 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-17 13,8475 13,8325 19,62 19,62 271,68795 271,39365 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-18 13,8225 13,8075 19,57 19,57 270,506325 270,212775 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-19 13,8975 13,8825 19,12 19,12 265,7202 265,4334 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-20 13,9905 13,9755 19,31 19,31 270,156555 269,866905 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-21 14,0025 13,9875 19,17 19,17 268,427925 268,140375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-24 14,1375 14,1225 19,33 19,33 273,277875 272,987925 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-25 14,1225 14,1075 19,37 19,37 273,552825 273,262275 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-26 13,9955 13,9805 19,76 19,76 276,55108 276,25468 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-27 14,0405 14,0255 19,46 19,46 273,22813 272,93623 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-10-28 13,9655 13,9505 19,38 19,38 270,65139 270,36069 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-01 14,1055 14,0905 19,73 19,73 278,301515 278,005565 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-02 14,0775 14,0625 19,83 19,83 279,156825 278,859375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-03 14,2125 14,1975 19,89 19,89 282,686625 282,388275 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-04 14,1905 14,1755 19,97 19,97 283,384285 283,084735 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-07 14,2275 14,2125 19,96 19,96 283,9809 283,6815 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-08 14,1725 14,1575 20,08 20,08 284,5838 284,2826 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-09 14,1525 14,1375 20,04 20,04 283,6161 283,3155 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-10 14,2425 14,2275 20,16 20,16 287,1288 286,8264 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-11 14,3475 14,3325 20,27 20,27 290,823825 290,519775 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-14 14,1905 14,1755 20,34 20,34 288,63477 288,32967 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-15 14,2325 14,2175 20,36 20,36 289,7737 289,4683 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-16 14,2475 14,2325 20,25 20,25 288,511875 288,208125 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-17 14,1855 14,1705 20,33 20,33 288,391215 288,086265 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-18 14,0775 14,0625 20,36 20,36 286,6179 286,3125 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-21 13,9755 13,9605 20,33 20,33 284,121915 283,816965 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-22 13,9775 13,9625 20,36 20,36 284,5819 284,2765 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-23 13,8705 13,8555 20,42 20,42 283,23561 282,92931 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-24 13,8725 13,8575 20,45 20,45 283,692625 283,385875 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-25 13,8775 13,8625 20,47 20,47 284,072425 283,765375 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-28 13,8505 13,8355 20,49 20,49 283,796745 283,489395 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-29 13,8325 13,8175 20,55 20,55 284,257875 283,949625 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-11-30 13,9255 13,9105 20,59 20,59 286,726045 286,417195 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-01 13,9955 13,9805 20,59 20,59 288,167345 287,858495 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-02 14,0055 13,9905 20,63 20,63 288,933465 288,624015 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-05 13,9175 13,9025 20,57 20,57 286,282975 285,974425 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-06 13,9455 13,9305 20,68 20,68 288,39294 288,08274 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-07 13,9105 13,8955 20,71 20,71 288,086455 287,775805 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-08 13,8955 13,8805 20,6 20,6 286,2473 285,9383 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-12 14,0125 13,9975 20,72 20,72 290,339 290,0282 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-13 14,0075 13,9925 20,76 20,76 290,7957 290,4843 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-14 13,9555 13,9405 20,79 20,79 290,134845 289,822995 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-15 13,9105 13,8955 20,87 20,87 290,312135 289,999085 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-16 13,9755 13,9605 20,89 20,89 291,948195 291,634845 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-19 13,9125 13,8975 20,84 20,84 289,9365 289,6239 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-20 13,8225 13,8075 20,83 20,83 287,922675 287,610225 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-21 13,9605 13,9455 20,85 20,85 291,076425 290,763675 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-22 13,8975 13,8825 20,94 20,94 291,01365 290,69955 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-23 13,8255 13,8105 20,96 20,96 289,78248 289,46808 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-29 13,6655 13,6505 20,97 20,97 286,565535 286,250985 580969 AXA Rosenberg Management Ireland Limited AXA Rosenberg UK Small Cap Alpha Fund GBP 2005-12-30 13,7405 13,7255 21,01 21,01 288,687905 288,372755 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-04 6,728 6,718 9,73 9,73 65,46344 65,36614 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-05 6,828 6,818 9,7 9,7 66,2316 66,1346 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-07 6,87 6,86 9,72 9,72 66,7764 66,6792 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-10 6,96091 6,95091 9,77 9,77 68,0080907 67,9103907 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-11 6,96091 6,95091 9,72 9,72 67,6600452 67,5628452 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-12 6,913 6,903 9,75 9,75 67,40175 67,30425 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-13 6,843 6,833 9,7 9,7 66,3771 66,2801 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-14 6,915 6,905 9,77 9,77 67,55955 67,46185 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-18 6,968 6,958 9,86 9,86 68,70448 68,60588 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-19 6,91 6,9 9,78 9,78 67,5798 67,482 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-20 6,96 6,95 9,68 9,68 67,3728 67,276 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-21 6,978 6,968 9,64 9,64 67,26792 67,17152 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-24 6,933 6,923 9,59 9,59 66,48747 66,39157 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-25 6,95 6,94 9,64 9,64 66,998 66,9016 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-26 6,995 6,985 9,7 9,7 67,8515 67,7545 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-27 6,93 6,92 9,71 9,71 67,2903 67,1932 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-28 6,985 6,975 9,69 9,69 67,68465 67,58775 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-01-31 6,998 6,988 9,81 9,81 68,65038 68,55228 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-01 6,993 6,983 9,89 9,89 69,16077 69,06187 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-02 6,953 6,943 9,94 9,94 69,11282 69,01342 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-03 6,968 6,958 9,94 9,94 69,26192 69,16252 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-04 7,01 7 10,06 10,06 70,5206 70,42 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-07 7,065 7,055 10,04 10,04 70,9326 70,8322 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-08 7,123 7,113 10,06 10,06 71,65738 71,55678 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-09 7,1 7,09 9,98 9,98 70,858 70,7582 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-10 7,088 7,078 10,04 10,04 71,16352 71,06312 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-11 7,068 7,058 10,09 10,09 71,31612 71,21522 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-14 7,03 7,02 10,11 10,11 71,0733 70,9722 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-15 7,005 6,995 10,13 10,13 70,96065 70,85935 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-16 6,973 6,963 10,17 10,17 70,91541 70,81371 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-17 6,97 6,96 10,09 10,09 70,3273 70,2264 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-18 6,965 6,955 10,11 10,11 70,41615 70,31505 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-22 6,905 6,895 9,95 9,95 68,70475 68,60525 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-23 6,895 6,885 10,02 10,02 69,0879 68,9877 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-24 6,858 6,848 10,14 10,14 69,54012 69,43872 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-25 6,885 6,875 10,27 10,27 70,70895 70,60625 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-02-28 6,828 6,818 10,19 10,19 69,57732 69,47542 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-01 6,87 6,86 10,23 10,23 70,2801 70,1778 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-02 6,888 6,878 10,24 10,24 70,53312 70,43072 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-03 6,903 6,893 10,25 10,25 70,75575 70,65325 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-04 6,9 6,89 10,39 10,39 71,691 71,5871 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-07 6,84 6,83 10,38 10,38 70,9992 70,8954 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-08 6,825 6,815 10,33 10,33 70,50225 70,39895 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-09 6,76 6,75 10,19 10,19 68,8844 68,7825 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-10 6,745 6,735 10,2 10,2 68,799 68,697 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-11 6,765 6,755 10,18 10,18 68,8677 68,7659 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-14 6,76 6,75 10,24 10,24 69,2224 69,12 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-15 6,815 6,805 10,18 10,18 69,3767 69,2749 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-16 6,81 6,8 10,11 10,11 68,8491 68,748 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-18 6,828 6,818 10,15 10,15 69,3042 69,2027 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-21 6,908 6,898 10,08 10,08 69,63264 69,53184 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-22 6,928 6,918 9,98 9,98 69,14144 69,04164 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-23 6,973 6,963 9,95 9,95 69,38135 69,28185 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-24 7,008 6,998 9,96 9,96 69,79968 69,70008 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-29 7,055 7,045 9,88 9,88 69,7034 69,6046 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-30 7,053 7,043 10,01 10,01 70,60053 70,50043 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-03-31 7,065 7,055 10,03 10,03 70,86195 70,76165 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-01 7,07 7,06 10 10 70,7 70,6 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-04 7,113 7,103 10,04 10,04 71,41452 71,31412 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-05 7,163 7,153 10,06 10,06 72,05978 71,95918 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-06 7,125 7,115 10,08 10,08 71,82 71,7192 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-07 7,083 7,073 10,12 10,12 71,67996 71,57876 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-08 7,153 7,143 10,03 10,03 71,74459 71,64429 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-11 7,098 7,088 10,03 10,03 71,19294 71,09264 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-12 7,048 7,038 10,08 10,08 71,04384 70,94304 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-13 7,075 7,065 9,94 9,94 70,3255 70,2261 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-14 7,12 7,11 9,8 9,8 69,776 69,678 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-15 7,17 7,16 9,6 9,6 68,832 68,736 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-18 7,08 7,07 9,64 9,64 68,2512 68,1548 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-19 7,068 7,058 9,73 9,73 68,77164 68,67434 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-20 7,043 7,033 9,57 9,57 67,40151 67,30581 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-21 7,025 7,015 9,76 9,76 68,564 68,4664 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-22 7,023 7,013 9,72 9,72 68,26356 68,16636 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-25 7,04 7,03 9,81 9,81 69,0624 68,9643 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-26 7,035 7,025 9,72 9,72 68,3802 68,283 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-27 7,085 7,075 9,72 9,72 68,8662 68,769 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-28 7,085 7,075 9,6 9,6 68,016 67,92 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-04-29 7,08 7,07 9,7 9,7 68,676 68,579 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-03 7,178 7,168 9,74 9,74 69,91372 69,81632 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-04 7,11 7,1 9,87 9,87 70,1757 70,077 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-06 7,085 7,075 9,87 9,87 69,92895 69,83025 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-09 7,168 7,158 9,93 9,93 71,17824 71,07894 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-10 7,178 7,168 9,82 9,82 70,48796 70,38976 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-11 7,15 7,14 9,87 9,87 70,5705 70,4718 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-12 7,243 7,233 9,73 9,73 70,47439 70,37709 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-13 7,265 7,255 9,67 9,67 70,25255 70,15585 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-16 7,32 7,31 9,77 9,77 71,5164 71,4187 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-17 7,313 7,303 9,86 9,86 72,10618 72,00758 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-18 7,3 7,29 9,96 9,96 72,708 72,6084 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-19 7,26 7,25 10,01 10,01 72,6726 72,5725 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-20 7,28 7,27 9,99 9,99 72,7272 72,6273 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-23 7,32 7,31 10,04 10,04 73,4928 73,3924 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-24 7,295 7,285 10,06 10,06 73,3877 73,2871 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-25 7,298 7,288 10,02 10,02 73,12596 73,02576 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-26 7,33 7,32 10,1 10,1 74,033 73,932 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-27 7,338 7,328 10,12 10,12 74,26056 74,15936 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-05-31 7,403 7,393 10,08 10,08 74,62224 74,52144 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-01 7,428 7,418 10,17 10,17 75,54276 75,44106 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-02 7,473 7,463 10,2 10,2 76,2246 76,1226 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-03 7,438 7,428 10,14 10,14 75,42132 75,31992 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-07 7,448 7,438 10,17 10,17 75,74616 75,64446 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-08 7,435 7,425 10,13 10,13 75,31655 75,21525 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-09 7,523 7,513 10,2 10,2 76,7346 76,6326 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-10 7,525 7,515 10,17 10,17 76,52925 76,42755 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-13 7,643 7,633 10,2 10,2 77,9586 77,8566 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-14 7,663 7,653 10,23 10,23 78,39249 78,29019 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-15 7,693 7,683 10,26 10,26 78,93018 78,82758 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-16 7,678 7,668 10,31 10,31 79,16018 79,05708 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-17 7,643 7,633 10,37 10,37 79,25791 79,15421 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-20 7,543 7,533 10,35 10,35 78,07005 77,96655 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-21 7,648 7,638 10,33 10,33 79,00384 78,90054 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-22 7,608 7,598 10,32 10,32 78,51456 78,41136 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-23 7,73 7,72 10,21 10,21 78,9233 78,8212 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-27 7,73 7,72 10,14 10,14 78,3822 78,2808 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-28 7,76 7,75 10,24 10,24 79,4624 79,36 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-29 7,833 7,823 10,23 10,23 80,13159 80,02929 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-06-30 7,823 7,813 10,14 10,14 79,32522 79,22382 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-01 7,858 7,848 10,18 10,18 79,99444 79,89264 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-05 7,963 7,953 10,28 10,28 81,85964 81,75684 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-06 7,895 7,885 10,19 10,19 80,45005 80,34815 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-07 7,878 7,868 10,23 10,23 80,59194 80,48964 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-08 7,913 7,903 10,31 10,31 81,58303 81,47993 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-11 7,89 7,88 10,37 10,37 81,8193 81,7156 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-12 7,77 7,76 10,39 10,39 80,7303 80,6264 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-13 7,703 7,693 10,39 10,39 80,03417 79,93027 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-14 7,76 7,75 10,39 10,39 80,6264 80,5225 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-15 7,76 7,75 10,43 10,43 80,9368 80,8325 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-18 7,78 7,77 10,38 10,38 80,7564 80,6526 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-19 7,878 7,868 10,44 10,44 82,24632 82,14192 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-20 7,818 7,808 10,49 10,49 82,01082 81,90592 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-21 7,775 7,765 10,39 10,39 80,78225 80,67835 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-22 7,758 7,748 10,46 10,46 81,14868 81,04408 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-25 7,838 7,828 10,41 10,41 81,59358 81,48948 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-26 7,818 7,808 10,43 10,43 81,54174 81,43744 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-27 7,905 7,895 10,47 10,47 82,76535 82,66065 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-28 7,848 7,838 10,56 10,56 82,87488 82,76928 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-07-29 7,748 7,738 10,48 10,48 81,19904 81,09424 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-02 7,7 7,69 10,57 10,57 81,389 81,2833 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-03 7,685 7,675 10,56 10,56 81,1536 81,048 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-04 7,618 7,608 10,48 10,48 79,83664 79,73184 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-05 7,548 7,538 10,37 10,37 78,27276 78,16906 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-08 7,558 7,548 10,35 10,35 78,2253 78,1218 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-09 7,548 7,538 10,41 10,41 78,57468 78,47058 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-10 7,558 7,548 10,42 10,42 78,75436 78,65016 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-11 7,523 7,513 10,49 10,49 78,91627 78,81137 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-12 7,46 7,45 10,44 10,44 77,8824 77,778 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-15 7,508 7,498 10,46 10,46 78,53368 78,42908 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-16 7,523 7,513 10,33 10,33 77,71259 77,60929 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-17 7,605 7,595 10,34 10,34 78,6357 78,5323 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-18 7,61 7,6 10,33 10,33 78,6113 78,508 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-19 7,698 7,688 10,34 10,34 79,59732 79,49392 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-08-22 7,69 7,68 10,35 10,35 79,5915 79,488 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha 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7,558 10,43 10,43 78,93424 78,82994 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-02 7,435 7,425 10,38 10,38 77,1753 77,0715 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-06 7,485 7,475 10,5 10,5 78,5925 78,4875 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-07 7,43 7,42 10,56 10,56 78,4608 78,3552 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-08 7,498 7,488 10,52 10,52 78,87896 78,77376 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-09 7,523 7,513 10,62 10,62 79,89426 79,78806 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-12 7,555 7,545 10,6 10,6 80,083 79,977 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-13 7,57 7,56 10,52 10,52 79,6364 79,5312 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-14 7,61 7,6 10,49 10,49 79,8289 79,724 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-15 7,658 7,648 10,51 10,51 80,48558 80,38048 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-16 7,613 7,603 10,6 10,6 80,6978 80,5918 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-19 7,698 7,688 10,56 10,56 81,29088 81,18528 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-20 7,688 7,678 10,46 10,46 80,41648 80,31188 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-21 7,663 7,653 10,37 10,37 79,46531 79,36161 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-22 7,648 7,638 10,41 10,41 79,61568 79,51158 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-23 7,733 7,723 10,44 10,44 80,73252 80,62812 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-26 7,798 7,788 10,46 10,46 81,56708 81,46248 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-27 7,825 7,815 10,45 10,45 81,77125 81,66675 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-28 7,81 7,8 10,45 10,45 81,6145 81,51 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-29 7,785 7,775 10,56 10,56 82,2096 82,104 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-09-30 7,785 7,775 10,58 10,58 82,3653 82,2595 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-03 7,783 7,773 10,56 10,56 82,18848 82,08288 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-04 7,82 7,81 10,44 10,44 81,6408 81,5364 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-05 7,795 7,785 10,26 10,26 79,9767 79,8741 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-06 7,713 7,703 10,17 10,17 78,44121 78,33951 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-07 7,683 7,673 10,23 10,23 78,59709 78,49479 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-10 7,698 7,688 10,14 10,14 78,05772 77,95632 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-11 7,77 7,76 10,14 10,14 78,7878 78,6864 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-12 7,805 7,795 10,05 10,05 78,44025 78,33975 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-13 7,83 7,82 10,03 10,03 78,5349 78,4346 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-14 7,833 7,823 10,12 10,12 79,26996 79,16876 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-17 7,835 7,825 10,17 10,17 79,68195 79,58025 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-18 7,893 7,883 10,03 10,03 79,16679 79,06649 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-19 7,96 7,95 10,22 10,22 81,3512 81,249 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-20 7,93 7,92 10,05 10,05 79,6965 79,596 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-21 7,883 7,873 10,1 10,1 79,6183 79,5173 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-24 7,995 7,985 10,3 10,3 82,3485 82,2455 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-25 7,99 7,98 10,26 10,26 81,9774 81,8748 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-26 7,868 7,858 10,23 10,23 80,48964 80,38734 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-27 7,868 7,858 10,09 10,09 79,38812 79,28722 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-10-28 7,825 7,815 10,28 10,28 80,441 80,3382 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-01 7,963 7,953 10,37 10,37 82,57631 82,47261 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-02 7,98 7,97 10,49 10,49 83,7102 83,6053 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-03 8,01 8 10,55 10,55 84,5055 84,4 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-04 8,028 8,018 10,53 10,53 84,53484 84,42954 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-07 8,135 8,125 10,55 10,55 85,82425 85,71875 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-08 8,17 8,16 10,51 10,51 85,8667 85,7616 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-09 8,12 8,11 10,52 10,52 85,4224 85,3172 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-10 8,173 8,163 10,6 10,6 86,6338 86,5278 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-11 8,235 8,225 10,62 10,62 87,4557 87,3495 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-14 8,133 8,123 10,63 10,63 86,45379 86,34749 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-15 8,185 8,175 10,59 10,59 86,67915 86,57325 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-16 8,21 8,2 10,64 10,64 87,3544 87,248 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-17 8,258 8,248 10,75 10,75 88,7735 88,666 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-18 8,223 8,213 10,78 10,78 88,64394 88,53614 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-21 8,123 8,113 10,84 10,84 88,05332 87,94492 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-22 8,15 8,14 10,92 10,92 88,998 88,8888 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-23 8,048 8,038 10,95 10,95 88,1256 88,0161 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-25 8,078 8,068 10,97 10,97 88,61566 88,50596 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-28 8,118 8,108 10,85 10,85 88,0803 87,9718 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-29 8,015 8,005 10,87 10,87 87,12305 87,01435 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-11-30 8,088 8,078 10,82 10,82 87,51216 87,40396 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-01 8,083 8,073 10,97 10,97 88,67051 88,56081 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-02 8,103 8,093 10,97 10,97 88,88991 88,78021 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-05 8,045 8,035 10,95 10,95 88,09275 87,98325 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-06 7,993 7,983 10,96 10,96 87,60328 87,49368 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-07 8,015 8,005 10,89 10,89 87,28335 87,17445 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-08 7,988 7,978 10,91 10,91 87,14908 87,03998 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-12 7,953 7,943 10,92 10,92 86,84676 86,73756 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-13 7,905 7,895 10,96 10,96 86,6388 86,5292 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-14 7,848 7,838 11 11 86,328 86,218 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-15 7,858 7,848 10,99 10,99 86,35942 86,24952 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-16 7,903 7,893 10,95 10,95 86,53785 86,42835 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-19 7,865 7,855 10,86 10,86 85,4139 85,3053 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-20 7,848 7,838 10,9 10,9 85,5432 85,4342 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-21 7,948 7,938 10,94 10,94 86,95112 86,84172 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-22 7,98 7,97 10,99 10,99 87,7002 87,5903 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-23 7,955 7,945 10,99 10,99 87,42545 87,31555 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-29 7,938 7,928 10,86 10,86 86,20668 86,09808 616797 AXA Rosenberg Management Ireland Limited AXA Rosenberg US Equity Alpha Fund USD 2005-12-30 7,958 7,948 10,82 10,82 86,10556 85,99736 985952 Banco Fonder AB Banco 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987,62 987,62 985952 Banco Fonder AB Banco Balanserad SEK 2005-01-20 1 1 980,96 980,96 980,96 980,96 985952 Banco Fonder AB Banco Balanserad SEK 2005-01-21 1 1 980,39 980,39 980,39 980,39 985952 Banco Fonder AB Banco Balanserad SEK 2005-01-24 1 1 974,12 974,12 974,12 974,12 985952 Banco Fonder AB Banco Balanserad SEK 2005-01-25 1 1 980,3 980,3 980,3 980,3 985952 Banco Fonder AB Banco Balanserad SEK 2005-01-26 1 1 982,29 982,29 982,29 982,29 985952 Banco Fonder AB Banco Balanserad SEK 2005-01-27 1 1 981,16 981,16 981,16 981,16 985952 Banco Fonder AB Banco Balanserad SEK 2005-01-28 1 1 982,46 982,46 982,46 982,46 985952 Banco Fonder AB Banco Balanserad SEK 2005-01-31 1 1 986,96 986,96 986,96 986,96 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-01 1 1 988,11 988,11 988,11 988,11 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-02 1 1 991,6 991,6 991,6 991,6 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-03 1 1 990,13 990,13 990,13 990,13 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-04 1 1 995,51 995,51 995,51 995,51 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-07 1 1 1003,2 1003,2 1003,2 1003,2 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-08 1 1 1005,08 1005,08 1005,08 1005,08 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-09 1 1 1006,66 1006,66 1006,66 1006,66 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-10 1 1 1000,7 1000,7 1000,7 1000,7 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-11 1 1 1003,34 1003,34 1003,34 1003,34 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-14 1 1 1006,36 1006,36 1006,36 1006,36 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-15 1 1 1007,74 1007,74 1007,74 1007,74 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-16 1 1 1001,74 1001,74 1001,74 1001,74 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-17 1 1 1004,83 1004,83 1004,83 1004,83 985952 Banco Fonder AB Banco Balanserad SEK 2005-02-18 1 1 999,25 999,25 999,25 999,25 985952 Banco Fonder AB Banco Balanserad SEK 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985952 Banco Fonder AB Banco Balanserad SEK 2005-03-24 1 1 1002,1 1002,1 1002,1 1002,1 985952 Banco Fonder AB Banco Balanserad SEK 2005-03-29 1 1 1002,9 1002,9 1002,9 1002,9 985952 Banco Fonder AB Banco Balanserad SEK 2005-03-30 1 1 999,2 999,2 999,2 999,2 985952 Banco Fonder AB Banco Balanserad SEK 2005-03-31 1 1 1005,41 1005,41 1005,41 1005,41 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-01 1 1 1008,41 1008,41 1008,41 1008,41 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-04 1 1 1005,42 1005,42 1005,42 1005,42 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-05 1 1 1013,43 1013,43 1013,43 1013,43 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-06 1 1 1016,2 1016,2 1016,2 1016,2 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-07 1 1 1016,03 1016,03 1016,03 1016,03 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-08 1 1 1022,12 1022,12 1022,12 1022,12 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-11 1 1 1020,25 1020,25 1020,25 1020,25 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-12 1 1 1016,32 1016,32 1016,32 1016,32 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-13 1 1 1022,82 1022,82 1022,82 1022,82 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-14 1 1 1025,51 1025,51 1025,51 1025,51 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-15 1 1 1018,31 1018,31 1018,31 1018,31 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-18 1 1 1005,23 1005,23 1005,23 1005,23 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-19 1 1 1009,54 1009,54 1009,54 1009,54 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-20 1 1 1008,13 1008,13 1008,13 1008,13 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-21 1 1 1008,55 1008,55 1008,55 1008,55 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-22 1 1 1014,25 1014,25 1014,25 1014,25 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-25 1 1 1013,1 1013,1 1013,1 1013,1 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-26 1 1 1009,87 1009,87 1009,87 1009,87 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-27 1 1 1001,04 1001,04 1001,04 1001,04 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-28 1 1 997,92 997,92 997,92 997,92 985952 Banco Fonder AB Banco Balanserad SEK 2005-04-29 1 1 1003,33 1003,33 1003,33 1003,33 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-02 1 1 1010,25 1010,25 1010,25 1010,25 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-03 1 1 1011,54 1011,54 1011,54 1011,54 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-04 1 1 1010,13 1010,13 1010,13 1010,13 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-06 1 1 1016,32 1016,32 1016,32 1016,32 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-09 1 1 1018,59 1018,59 1018,59 1018,59 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-10 1 1 1015,73 1015,73 1015,73 1015,73 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-11 1 1 1015,33 1015,33 1015,33 1015,33 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-12 1 1 1020,68 1020,68 1020,68 1020,68 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-13 1 1 1002,7 1002,7 1002,7 1002,7 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-16 1 1 1005,15 1005,15 1005,15 1005,15 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-17 1 1 1008,7 1008,7 1008,7 1008,7 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-18 1 1 1014,33 1014,33 1014,33 1014,33 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-19 1 1 1016,36 1016,36 1016,36 1016,36 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-20 1 1 1016,55 1016,55 1016,55 1016,55 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-23 1 1 1018,78 1018,78 1018,78 1018,78 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-24 1 1 1020,09 1020,09 1020,09 1020,09 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-25 1 1 1019,66 1019,66 1019,66 1019,66 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-26 1 1 1022,92 1022,92 1022,92 1022,92 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-27 1 1 1025,43 1025,43 1025,43 1025,43 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-30 1 1 1026,3 1026,3 1026,3 1026,3 985952 Banco Fonder AB Banco Balanserad SEK 2005-05-31 1 1 1028,83 1028,83 1028,83 1028,83 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-01 1 1 1030,02 1030,02 1030,02 1030,02 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-02 1 1 1033,37 1033,37 1033,37 1033,37 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-03 1 1 1032,79 1032,79 1032,79 1032,79 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-07 1 1 1035,84 1035,84 1035,84 1035,84 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-08 1 1 1038,56 1038,56 1038,56 1038,56 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-09 1 1 1038,78 1038,78 1038,78 1038,78 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-10 1 1 1042,27 1042,27 1042,27 1042,27 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-13 1 1 1044,55 1044,55 1044,55 1044,55 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-14 1 1 1050,22 1050,22 1050,22 1050,22 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-15 1 1 1050,68 1050,68 1050,68 1050,68 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-16 1 1 1049,34 1049,34 1049,34 1049,34 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-17 1 1 1054,63 1054,63 1054,63 1054,63 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-20 1 1 1049,97 1049,97 1049,97 1049,97 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-21 1 1 1055,81 1055,81 1055,81 1055,81 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-22 1 1 1059,04 1059,04 1059,04 1059,04 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-23 1 1 1065,98 1065,98 1065,98 1065,98 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-27 1 1 1055,29 1055,29 1055,29 1055,29 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-28 1 1 1059,19 1059,19 1059,19 1059,19 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-29 1 1 1066,6 1066,6 1066,6 1066,6 985952 Banco Fonder AB Banco Balanserad SEK 2005-06-30 1 1 1068,01 1068,01 1068,01 1068,01 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-01 1 1 1069,02 1069,02 1069,02 1069,02 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-04 1 1 1074,16 1074,16 1074,16 1074,16 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-05 1 1 1072,35 1072,35 1072,35 1072,35 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-06 1 1 1075,43 1075,43 1075,43 1075,43 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-07 1 1 1061,17 1061,17 1061,17 1061,17 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-08 1 1 1071,6 1071,6 1071,6 1071,6 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-11 1 1 1081,17 1081,17 1081,17 1081,17 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-12 1 1 1079,27 1079,27 1079,27 1079,27 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-13 1 1 1078,29 1078,29 1078,29 1078,29 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-14 1 1 1081,73 1081,73 1081,73 1081,73 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-15 1 1 1079,58 1079,58 1079,58 1079,58 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-18 1 1 1079,02 1079,02 1079,02 1079,02 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-19 1 1 1083,77 1083,77 1083,77 1083,77 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-20 1 1 1080,92 1080,92 1080,92 1080,92 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-21 1 1 1084,22 1084,22 1084,22 1084,22 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-22 1 1 1084,23 1084,23 1084,23 1084,23 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-25 1 1 1085,19 1085,19 1085,19 1085,19 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-26 1 1 1086,48 1086,48 1086,48 1086,48 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-27 1 1 1091,52 1091,52 1091,52 1091,52 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-28 1 1 1094,13 1094,13 1094,13 1094,13 985952 Banco Fonder AB Banco Balanserad SEK 2005-07-29 1 1 1091,5 1091,5 1091,5 1091,5 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-01 1 1 1088,68 1088,68 1088,68 1088,68 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-02 1 1 1090,39 1090,39 1090,39 1090,39 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-03 1 1 1089,69 1089,69 1089,69 1089,69 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-04 1 1 1084,63 1084,63 1084,63 1084,63 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-05 1 1 1079,4 1079,4 1079,4 1079,4 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-08 1 1 1078,69 1078,69 1078,69 1078,69 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-09 1 1 1079,19 1079,19 1079,19 1079,19 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-10 1 1 1090,16 1090,16 1090,16 1090,16 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-11 1 1 1086,19 1086,19 1086,19 1086,19 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-12 1 1 1082,38 1082,38 1082,38 1082,38 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-15 1 1 1083,65 1083,65 1083,65 1083,65 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-16 1 1 1085,43 1085,43 1085,43 1085,43 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-17 1 1 1083,81 1083,81 1083,81 1083,81 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-18 1 1 1083,98 1083,98 1083,98 1083,98 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-19 1 1 1090,84 1090,84 1090,84 1090,84 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-22 1 1 1092,35 1092,35 1092,35 1092,35 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-23 1 1 1086,72 1086,72 1086,72 1086,72 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-24 1 1 1077,86 1077,86 1077,86 1077,86 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-25 1 1 1070,28 1070,28 1070,28 1070,28 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-26 1 1 1066,66 1066,66 1066,66 1066,66 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-29 1 1 1065,46 1065,46 1065,46 1065,46 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-30 1 1 1070,63 1070,63 1070,63 1070,63 985952 Banco Fonder AB Banco Balanserad SEK 2005-08-31 1 1 1074,92 1074,92 1074,92 1074,92 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-01 1 1 1078,4 1078,4 1078,4 1078,4 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-02 1 1 1072,93 1072,93 1072,93 1072,93 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-05 1 1 1075,17 1075,17 1075,17 1075,17 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-06 1 1 1081,73 1081,73 1081,73 1081,73 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-07 1 1 1082,78 1082,78 1082,78 1082,78 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-08 1 1 1084,22 1084,22 1084,22 1084,22 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-09 1 1 1089,24 1089,24 1089,24 1089,24 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-12 1 1 1092,78 1092,78 1092,78 1092,78 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-13 1 1 1089,78 1089,78 1089,78 1089,78 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-14 1 1 1093,05 1093,05 1093,05 1093,05 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-15 1 1 1094,1 1094,1 1094,1 1094,1 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-16 1 1 1094,62 1094,62 1094,62 1094,62 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-19 1 1 1099,17 1099,17 1099,17 1099,17 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-20 1 1 1098,49 1098,49 1098,49 1098,49 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-21 1 1 1092,28 1092,28 1092,28 1092,28 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-22 1 1 1089,12 1089,12 1089,12 1089,12 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-23 1 1 1092,86 1092,86 1092,86 1092,86 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-26 1 1 1102,57 1102,57 1102,57 1102,57 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-27 1 1 1104,47 1104,47 1104,47 1104,47 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-28 1 1 1107,46 1107,46 1107,46 1107,46 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-29 1 1 1105,95 1105,95 1105,95 1105,95 985952 Banco Fonder AB Banco Balanserad SEK 2005-09-30 1 1 1109,32 1109,32 1109,32 1109,32 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-03 1 1 1111,72 1111,72 1111,72 1111,72 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-04 1 1 1113,24 1113,24 1113,24 1113,24 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-05 1 1 1107,79 1107,79 1107,79 1107,79 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-06 1 1 1095,17 1095,17 1095,17 1095,17 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-07 1 1 1094,26 1094,26 1094,26 1094,26 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-10 1 1 1095,92 1095,92 1095,92 1095,92 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-11 1 1 1099,69 1099,69 1099,69 1099,69 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-12 1 1 1095,47 1095,47 1095,47 1095,47 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-13 1 1 1086,41 1086,41 1086,41 1086,41 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-14 1 1 1089,1 1089,1 1089,1 1089,1 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-17 1 1 1090,37 1090,37 1090,37 1090,37 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-18 1 1 1087,66 1087,66 1087,66 1087,66 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-19 1 1 1080,15 1080,15 1080,15 1080,15 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-20 1 1 1085,07 1085,07 1085,07 1085,07 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-21 1 1 1077,31 1077,31 1077,31 1077,31 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-24 1 1 1087,89 1087,89 1087,89 1087,89 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-25 1 1 1093,18 1093,18 1093,18 1093,18 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-26 1 1 1089,59 1089,59 1089,59 1089,59 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-27 1 1 1085,61 1085,61 1085,61 1085,61 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-28 1 1 1081,35 1081,35 1081,35 1081,35 985952 Banco Fonder AB Banco Balanserad SEK 2005-10-31 1 1 1099,12 1099,12 1099,12 1099,12 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-01 1 1 1103,5 1103,5 1103,5 1103,5 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-02 1 1 1105,19 1105,19 1105,19 1105,19 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-03 1 1 1117,49 1117,49 1117,49 1117,49 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-04 1 1 1116,55 1116,55 1116,55 1116,55 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-07 1 1 1122,01 1122,01 1122,01 1122,01 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-08 1 1 1119,89 1119,89 1119,89 1119,89 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-09 1 1 1118,19 1118,19 1118,19 1118,19 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-10 1 1 1123,54 1123,54 1123,54 1123,54 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-11 1 1 1131,21 1131,21 1131,21 1131,21 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-14 1 1 1130,25 1130,25 1130,25 1130,25 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-15 1 1 1128,09 1128,09 1128,09 1128,09 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-16 1 1 1130,12 1130,12 1130,12 1130,12 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-17 1 1 1135,53 1135,53 1135,53 1135,53 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-18 1 1 1138,65 1138,65 1138,65 1138,65 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-21 1 1 1134,59 1134,59 1134,59 1134,59 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-22 1 1 1137,56 1137,56 1137,56 1137,56 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-23 1 1 1135,63 1135,63 1135,63 1135,63 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-24 1 1 1134,7 1134,7 1134,7 1134,7 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-25 1 1 1137,62 1137,62 1137,62 1137,62 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-28 1 1 1138,82 1138,82 1138,82 1138,82 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-29 1 1 1134,44 1134,44 1134,44 1134,44 985952 Banco Fonder AB Banco Balanserad SEK 2005-11-30 1 1 1132,72 1132,72 1132,72 1132,72 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-01 1 1 1139,79 1139,79 1139,79 1139,79 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-02 1 1 1146,41 1146,41 1146,41 1146,41 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-05 1 1 1143,45 1143,45 1143,45 1143,45 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-06 1 1 1144,41 1144,41 1144,41 1144,41 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-07 1 1 1146,46 1146,46 1146,46 1146,46 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-08 1 1 1142,99 1142,99 1142,99 1142,99 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-12 1 1 1147,61 1147,61 1147,61 1147,61 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-13 1 1 1144,7 1144,7 1144,7 1144,7 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-14 1 1 1142,73 1142,73 1142,73 1142,73 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-15 1 1 1142,45 1142,45 1142,45 1142,45 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-16 1 1 1146,9 1146,9 1146,9 1146,9 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-19 1 1 1146,14 1146,14 1146,14 1146,14 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-20 1 1 1143,82 1143,82 1143,82 1143,82 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-21 1 1 1153,01 1153,01 1153,01 1153,01 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-22 1 1 1154,09 1154,09 1154,09 1154,09 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-23 1 1 1158,64 1158,64 1158,64 1158,64 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-27 1 1 1164,03 1164,03 1164,03 1164,03 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-28 1 1 1158,12 1158,12 1158,12 1158,12 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-29 1 1 1160,03 1160,03 1160,03 1160,03 985952 Banco Fonder AB Banco Balanserad SEK 2005-12-30 1 1 1157,2 1157,2 1157,2 1157,2 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-03 1 1 190,83 190,83 190,83 190,83 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-04 1 1 191,75 191,75 191,75 191,75 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-05 1 1 191,42 191,42 191,42 191,42 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-07 1 1 192,93 192,93 192,93 192,93 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-10 1 1 193,32 193,32 193,32 193,32 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-11 1 1 191,57 191,57 191,57 191,57 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-12 1 1 189,83 189,83 189,83 189,83 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-13 1 1 190,19 190,19 190,19 190,19 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-14 1 1 191,05 191,05 191,05 191,05 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-17 1 1 192,3 192,3 192,3 192,3 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-18 1 1 190,59 190,59 190,59 190,59 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-19 1 1 191,31 191,31 191,31 191,31 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-20 1 1 189,94 189,94 189,94 189,94 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-21 1 1 190,49 190,49 190,49 190,49 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-24 1 1 189,96 189,96 189,96 189,96 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-25 1 1 191,73 191,73 191,73 191,73 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-26 1 1 192,57 192,57 192,57 192,57 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-27 1 1 191,73 191,73 191,73 191,73 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-28 1 1 193,25 193,25 193,25 193,25 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-01-31 1 1 194,55 194,55 194,55 194,55 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-01 1 1 194,93 194,93 194,93 194,93 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-02 1 1 195,45 195,45 195,45 195,45 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-03 1 1 194,66 194,66 194,66 194,66 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-04 1 1 196,33 196,33 196,33 196,33 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-07 1 1 198,33 198,33 198,33 198,33 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-08 1 1 198,33 198,33 198,33 198,33 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-09 1 1 198,51 198,51 198,51 198,51 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-10 1 1 198,76 198,76 198,76 198,76 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-11 1 1 200,03 200,03 200,03 200,03 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-14 1 1 200,79 200,79 200,79 200,79 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-15 1 1 200,51 200,51 200,51 200,51 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-16 1 1 199,53 199,53 199,53 199,53 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-17 1 1 200,77 200,77 200,77 200,77 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-18 1 1 200,6 200,6 200,6 200,6 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-21 1 1 201,33 201,33 201,33 201,33 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-22 1 1 199,19 199,19 199,19 199,19 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-23 1 1 198,42 198,42 198,42 198,42 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-24 1 1 197,66 197,66 197,66 197,66 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-25 1 1 199,21 199,21 199,21 199,21 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-02-28 1 1 199,15 199,15 199,15 199,15 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-01 1 1 200,47 200,47 200,47 200,47 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-02 1 1 200,72 200,72 200,72 200,72 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-03 1 1 201,93 201,93 201,93 201,93 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-04 1 1 201,74 201,74 201,74 201,74 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-07 1 1 201,6 201,6 201,6 201,6 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-08 1 1 200,7 200,7 200,7 200,7 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-09 1 1 199,63 199,63 199,63 199,63 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-10 1 1 198,97 198,97 198,97 198,97 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-11 1 1 199,32 199,32 199,32 199,32 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-14 1 1 198,08 198,08 198,08 198,08 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-15 1 1 200,39 200,39 200,39 200,39 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-16 1 1 198,5 198,5 198,5 198,5 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-17 1 1 197,82 197,82 197,82 197,82 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-18 1 1 198,22 198,22 198,22 198,22 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-21 1 1 199,51 199,51 199,51 199,51 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-22 1 1 198,59 198,59 198,59 198,59 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-23 1 1 197,55 197,55 197,55 197,55 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-24 1 1 198,79 198,79 198,79 198,79 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-29 1 1 198,86 198,86 198,86 198,86 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-30 1 1 198,76 198,76 198,76 198,76 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-03-31 1 1 199,9 199,9 199,9 199,9 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-01 1 1 201,3 201,3 201,3 201,3 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-04 1 1 199,43 199,43 199,43 199,43 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-05 1 1 201,36 201,36 201,36 201,36 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-06 1 1 201,65 201,65 201,65 201,65 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-07 1 1 201,99 201,99 201,99 201,99 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-08 1 1 203,11 203,11 203,11 203,11 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-11 1 1 202,74 202,74 202,74 202,74 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-12 1 1 200,93 200,93 200,93 200,93 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-13 1 1 201,85 201,85 201,85 201,85 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-14 1 1 202,67 202,67 202,67 202,67 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-15 1 1 200,58 200,58 200,58 200,58 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-18 1 1 196,35 196,35 196,35 196,35 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-19 1 1 197,86 197,86 197,86 197,86 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-20 1 1 196,44 196,44 196,44 196,44 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-21 1 1 196,9 196,9 196,9 196,9 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-22 1 1 197,15 197,15 197,15 197,15 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-25 1 1 197,32 197,32 197,32 197,32 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-26 1 1 195,9 195,9 195,9 195,9 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-27 1 1 194,2 194,2 194,2 194,2 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-28 1 1 194,14 194,14 194,14 194,14 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-04-29 1 1 196,29 196,29 196,29 196,29 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-02 1 1 197,37 197,37 197,37 197,37 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-03 1 1 198,46 198,46 198,46 198,46 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-04 1 1 197,82 197,82 197,82 197,82 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-06 1 1 199,81 199,81 199,81 199,81 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-09 1 1 199,97 199,97 199,97 199,97 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-10 1 1 198,56 198,56 198,56 198,56 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-11 1 1 199,19 199,19 199,19 199,19 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-12 1 1 200 200 200 200 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-13 1 1 196,57 196,57 196,57 196,57 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-16 1 1 197,25 197,25 197,25 197,25 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-17 1 1 197,69 197,69 197,69 197,69 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-18 1 1 198,73 198,73 198,73 198,73 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-19 1 1 199,7 199,7 199,7 199,7 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-20 1 1 200,13 200,13 200,13 200,13 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-23 1 1 200,38 200,38 200,38 200,38 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-24 1 1 200,24 200,24 200,24 200,24 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-25 1 1 200,43 200,43 200,43 200,43 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-26 1 1 201,27 201,27 201,27 201,27 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-27 1 1 201,72 201,72 201,72 201,72 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-30 1 1 201,98 201,98 201,98 201,98 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-05-31 1 1 201,71 201,71 201,71 201,71 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-01 1 1 202,56 202,56 202,56 202,56 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-02 1 1 204,17 204,17 204,17 204,17 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-03 1 1 204,43 204,43 204,43 204,43 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-07 1 1 204,91 204,91 204,91 204,91 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-08 1 1 205,34 205,34 205,34 205,34 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-09 1 1 205,98 205,98 205,98 205,98 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-10 1 1 207,04 207,04 207,04 207,04 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-13 1 1 208,08 208,08 208,08 208,08 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-14 1 1 209,81 209,81 209,81 209,81 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-15 1 1 210,08 210,08 210,08 210,08 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-16 1 1 209,88 209,88 209,88 209,88 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-17 1 1 211,6 211,6 211,6 211,6 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-20 1 1 208,9 208,9 208,9 208,9 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-21 1 1 210,99 210,99 210,99 210,99 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-22 1 1 212 212 212 212 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-23 1 1 214,07 214,07 214,07 214,07 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-27 1 1 211,12 211,12 211,12 211,12 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-28 1 1 212,44 212,44 212,44 212,44 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-29 1 1 214,52 214,52 214,52 214,52 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-06-30 1 1 215,4 215,4 215,4 215,4 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-01 1 1 215,41 215,41 215,41 215,41 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-04 1 1 216,32 216,32 216,32 216,32 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-05 1 1 215,46 215,46 215,46 215,46 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-06 1 1 216,48 216,48 216,48 216,48 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-07 1 1 211,78 211,78 211,78 211,78 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-08 1 1 214,42 214,42 214,42 214,42 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-11 1 1 216,79 216,79 216,79 216,79 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-12 1 1 216,58 216,58 216,58 216,58 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-13 1 1 215,92 215,92 215,92 215,92 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-14 1 1 217,09 217,09 217,09 217,09 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-15 1 1 217,08 217,08 217,08 217,08 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-18 1 1 216 216 216 216 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-19 1 1 217,94 217,94 217,94 217,94 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-20 1 1 217,11 217,11 217,11 217,11 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-21 1 1 218,63 218,63 218,63 218,63 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-22 1 1 217,89 217,89 217,89 217,89 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-25 1 1 217,48 217,48 217,48 217,48 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-26 1 1 217,96 217,96 217,96 217,96 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-27 1 1 219,71 219,71 219,71 219,71 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-28 1 1 219,81 219,81 219,81 219,81 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-07-29 1 1 218,68 218,68 218,68 218,68 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-01 1 1 218,32 218,32 218,32 218,32 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-02 1 1 219,4 219,4 219,4 219,4 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-03 1 1 219,23 219,23 219,23 219,23 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-04 1 1 217,67 217,67 217,67 217,67 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-05 1 1 216,64 216,64 216,64 216,64 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-08 1 1 216,66 216,66 216,66 216,66 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-09 1 1 217,37 217,37 217,37 217,37 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-10 1 1 219,52 219,52 219,52 219,52 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-11 1 1 218,8 218,8 218,8 218,8 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-12 1 1 217,54 217,54 217,54 217,54 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-15 1 1 217,77 217,77 217,77 217,77 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-16 1 1 218,02 218,02 218,02 218,02 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-17 1 1 217,56 217,56 217,56 217,56 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-18 1 1 217,31 217,31 217,31 217,31 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-19 1 1 218,89 218,89 218,89 218,89 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-22 1 1 220,14 220,14 220,14 220,14 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-23 1 1 218,46 218,46 218,46 218,46 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-24 1 1 216,28 216,28 216,28 216,28 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-25 1 1 214,87 214,87 214,87 214,87 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-26 1 1 214,46 214,46 214,46 214,46 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-29 1 1 213,99 213,99 213,99 213,99 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-30 1 1 215,03 215,03 215,03 215,03 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-08-31 1 1 216,07 216,07 216,07 216,07 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-01 1 1 217,13 217,13 217,13 217,13 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-02 1 1 216,07 216,07 216,07 216,07 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-05 1 1 216,99 216,99 216,99 216,99 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-06 1 1 218,91 218,91 218,91 218,91 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-07 1 1 219,74 219,74 219,74 219,74 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-08 1 1 219,96 219,96 219,96 219,96 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-09 1 1 221,35 221,35 221,35 221,35 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-12 1 1 221,35 221,35 221,35 221,35 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-13 1 1 220,07 220,07 220,07 220,07 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-14 1 1 220,91 220,91 220,91 220,91 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-15 1 1 221,51 221,51 221,51 221,51 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-16 1 1 221,91 221,91 221,91 221,91 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-19 1 1 222,64 222,64 222,64 222,64 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-20 1 1 223,11 223,11 223,11 223,11 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-21 1 1 220,82 220,82 220,82 220,82 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-22 1 1 219,78 219,78 219,78 219,78 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-23 1 1 220,84 220,84 220,84 220,84 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-26 1 1 223,63 223,63 223,63 223,63 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-27 1 1 224,4 224,4 224,4 224,4 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-28 1 1 225,15 225,15 225,15 225,15 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-29 1 1 224,23 224,23 224,23 224,23 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-09-30 1 1 224,11 224,11 224,11 224,11 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-03 1 1 225,27 225,27 225,27 225,27 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-04 1 1 226,29 226,29 226,29 226,29 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-05 1 1 225,63 225,63 225,63 225,63 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-06 1 1 221,86 221,86 221,86 221,86 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-07 1 1 222,35 222,35 222,35 222,35 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-10 1 1 222,07 222,07 222,07 222,07 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-11 1 1 222,45 222,45 222,45 222,45 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-12 1 1 221,64 221,64 221,64 221,64 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-13 1 1 219,48 219,48 219,48 219,48 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-14 1 1 221,02 221,02 221,02 221,02 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-17 1 1 222,36 222,36 222,36 222,36 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-18 1 1 221,44 221,44 221,44 221,44 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-19 1 1 218,58 218,58 218,58 218,58 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-20 1 1 220,08 220,08 220,08 220,08 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-21 1 1 218,68 218,68 218,68 218,68 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-24 1 1 222,07 222,07 222,07 222,07 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-25 1 1 222,37 222,37 222,37 222,37 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-26 1 1 220,4 220,4 220,4 220,4 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-27 1 1 219,98 219,98 219,98 219,98 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-28 1 1 218,59 218,59 218,59 218,59 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-10-31 1 1 223,11 223,11 223,11 223,11 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-01 1 1 224,52 224,52 224,52 224,52 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-02 1 1 224,99 224,99 224,99 224,99 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-03 1 1 230,17 230,17 230,17 230,17 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-04 1 1 229,27 229,27 229,27 229,27 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-07 1 1 231,05 231,05 231,05 231,05 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-08 1 1 229,74 229,74 229,74 229,74 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-09 1 1 228,95 228,95 228,95 228,95 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-10 1 1 232,83 232,83 232,83 232,83 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-11 1 1 235,67 235,67 235,67 235,67 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-14 1 1 234,08 234,08 234,08 234,08 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-15 1 1 233,38 233,38 233,38 233,38 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-16 1 1 233,89 233,89 233,89 233,89 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-17 1 1 235,08 235,08 235,08 235,08 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-18 1 1 235,76 235,76 235,76 235,76 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-21 1 1 234,29 234,29 234,29 234,29 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-22 1 1 234,3 234,3 234,3 234,3 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-23 1 1 233,8 233,8 233,8 233,8 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-24 1 1 233,1 233,1 233,1 233,1 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-25 1 1 233,99 233,99 233,99 233,99 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-28 1 1 233,49 233,49 233,49 233,49 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-29 1 1 233,2 233,2 233,2 233,2 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-11-30 1 1 233,23 233,23 233,23 233,23 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-01 1 1 235,3 235,3 235,3 235,3 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-02 1 1 236,25 236,25 236,25 236,25 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-05 1 1 234,84 234,84 234,84 234,84 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-06 1 1 235,63 235,63 235,63 235,63 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-07 1 1 236,11 236,11 236,11 236,11 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-08 1 1 234,05 234,05 234,05 234,05 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-12 1 1 237,09 237,09 237,09 237,09 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-13 1 1 236,91 236,91 236,91 236,91 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-14 1 1 237,34 237,34 237,34 237,34 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-15 1 1 236,39 236,39 236,39 236,39 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-16 1 1 238,99 238,99 238,99 238,99 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-19 1 1 239,14 239,14 239,14 239,14 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-20 1 1 237,47 237,47 237,47 237,47 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-21 1 1 240,72 240,72 240,72 240,72 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-22 1 1 240,48 240,48 240,48 240,48 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-23 1 1 240,51 240,51 240,51 240,51 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-27 1 1 242,55 242,55 242,55 242,55 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-28 1 1 241,06 241,06 241,06 241,06 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-29 1 1 240,78 240,78 240,78 240,78 914291 Banco Fonder AB Banco Etisk Europa SEK 2005-12-30 1 1 239,99 239,99 239,99 239,99 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-03 1 1 59,56 59,56 59,56 59,56 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-04 1 1 59,72 59,72 59,72 59,72 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-05 1 1 59,21 59,21 59,21 59,21 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-07 1 1 59,33 59,33 59,33 59,33 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-10 1 1 59,99 59,99 59,99 59,99 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-11 1 1 59,68 59,68 59,68 59,68 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-12 1 1 58,62 58,62 58,62 58,62 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-13 1 1 58,67 58,67 58,67 58,67 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-14 1 1 58,94 58,94 58,94 58,94 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-17 1 1 59,29 59,29 59,29 59,29 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-18 1 1 58,89 58,89 58,89 58,89 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-19 1 1 59,35 59,35 59,35 59,35 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-20 1 1 58,69 58,69 58,69 58,69 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-21 1 1 58,53 58,53 58,53 58,53 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-24 1 1 57,85 57,85 57,85 57,85 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-25 1 1 58,53 58,53 58,53 58,53 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-26 1 1 58,61 58,61 58,61 58,61 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-27 1 1 58,76 58,76 58,76 58,76 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-28 1 1 58,58 58,58 58,58 58,58 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-01-31 1 1 59,01 59,01 59,01 59,01 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-01 1 1 59,18 59,18 59,18 59,18 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-02 1 1 59,69 59,69 59,69 59,69 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-03 1 1 59,56 59,56 59,56 59,56 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-04 1 1 59,95 59,95 59,95 59,95 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-07 1 1 60,51 60,51 60,51 60,51 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-08 1 1 60,6 60,6 60,6 60,6 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-09 1 1 60,74 60,74 60,74 60,74 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-10 1 1 60,14 60,14 60,14 60,14 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-11 1 1 60,59 60,59 60,59 60,59 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-14 1 1 60,87 60,87 60,87 60,87 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-15 1 1 61,26 61,26 61,26 61,26 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-16 1 1 60,5 60,5 60,5 60,5 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-17 1 1 60,99 60,99 60,99 60,99 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-18 1 1 60,43 60,43 60,43 60,43 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-21 1 1 60,68 60,68 60,68 60,68 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-22 1 1 60,13 60,13 60,13 60,13 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-23 1 1 60,38 60,38 60,38 60,38 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-24 1 1 60,62 60,62 60,62 60,62 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-25 1 1 60,95 60,95 60,95 60,95 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-02-28 1 1 61,26 61,26 61,26 61,26 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-01 1 1 61,26 61,26 61,26 61,26 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-02 1 1 61,35 61,35 61,35 61,35 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-03 1 1 61,77 61,77 61,77 61,77 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-04 1 1 62 62 62 62 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-07 1 1 61,88 61,88 61,88 61,88 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-08 1 1 61,73 61,73 61,73 61,73 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-09 1 1 61,45 61,45 61,45 61,45 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-10 1 1 61,18 61,18 61,18 61,18 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-11 1 1 61,54 61,54 61,54 61,54 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-14 1 1 61,29 61,29 61,29 61,29 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-15 1 1 61,88 61,88 61,88 61,88 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-16 1 1 61,14 61,14 61,14 61,14 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-17 1 1 60,9 60,9 60,9 60,9 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-18 1 1 60,91 60,91 60,91 60,91 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-21 1 1 60,77 60,77 60,77 60,77 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-22 1 1 60,99 60,99 60,99 60,99 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-23 1 1 60,73 60,73 60,73 60,73 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-24 1 1 61,28 61,28 61,28 61,28 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-29 1 1 61,27 61,27 61,27 61,27 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-30 1 1 60,85 60,85 60,85 60,85 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-03-31 1 1 61,32 61,32 61,32 61,32 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-01 1 1 61,62 61,62 61,62 61,62 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-04 1 1 61,42 61,42 61,42 61,42 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-05 1 1 62,02 62,02 62,02 62,02 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-06 1 1 62,53 62,53 62,53 62,53 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-07 1 1 62,64 62,64 62,64 62,64 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-08 1 1 63,07 63,07 63,07 63,07 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-11 1 1 63,14 63,14 63,14 63,14 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-12 1 1 62,97 62,97 62,97 62,97 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-13 1 1 63,54 63,54 63,54 63,54 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-14 1 1 63,99 63,99 63,99 63,99 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-15 1 1 63,1 63,1 63,1 63,1 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-18 1 1 62,06 62,06 62,06 62,06 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-19 1 1 62,46 62,46 62,46 62,46 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-20 1 1 62,51 62,51 62,51 62,51 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-21 1 1 62,55 62,55 62,55 62,55 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-22 1 1 63,12 63,12 63,12 63,12 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-25 1 1 62,84 62,84 62,84 62,84 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-26 1 1 62,43 62,43 62,43 62,43 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-27 1 1 61,28 61,28 61,28 61,28 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-28 1 1 60,61 60,61 60,61 60,61 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-04-29 1 1 61,18 61,18 61,18 61,18 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-02 1 1 61,59 61,59 61,59 61,59 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-03 1 1 61,59 61,59 61,59 61,59 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-04 1 1 61,7 61,7 61,7 61,7 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-06 1 1 62,38 62,38 62,38 62,38 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-09 1 1 62,47 62,47 62,47 62,47 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-10 1 1 62,03 62,03 62,03 62,03 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-11 1 1 62,01 62,01 62,01 62,01 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-12 1 1 62,31 62,31 62,31 62,31 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-13 1 1 61,12 61,12 61,12 61,12 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-16 1 1 61,24 61,24 61,24 61,24 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-17 1 1 61,52 61,52 61,52 61,52 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-18 1 1 62,03 62,03 62,03 62,03 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-19 1 1 62,19 62,19 62,19 62,19 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-20 1 1 62,11 62,11 62,11 62,11 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-23 1 1 62,2 62,2 62,2 62,2 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-24 1 1 62,31 62,31 62,31 62,31 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-25 1 1 62,41 62,41 62,41 62,41 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-26 1 1 62,68 62,68 62,68 62,68 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-27 1 1 62,84 62,84 62,84 62,84 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-30 1 1 62,93 62,93 62,93 62,93 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-05-31 1 1 63,08 63,08 63,08 63,08 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-01 1 1 63,06 63,06 63,06 63,06 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-02 1 1 62,93 62,93 62,93 62,93 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-03 1 1 62,81 62,81 62,81 62,81 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-07 1 1 63,08 63,08 63,08 63,08 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-08 1 1 63,49 63,49 63,49 63,49 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-09 1 1 63,33 63,33 63,33 63,33 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-10 1 1 63,61 63,61 63,61 63,61 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-13 1 1 63,63 63,63 63,63 63,63 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-14 1 1 64,16 64,16 64,16 64,16 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-15 1 1 64,11 64,11 64,11 64,11 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-16 1 1 63,99 63,99 63,99 63,99 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-17 1 1 64,42 64,42 64,42 64,42 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-20 1 1 64,35 64,35 64,35 64,35 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-21 1 1 64,51 64,51 64,51 64,51 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-22 1 1 64,82 64,82 64,82 64,82 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-23 1 1 65,18 65,18 65,18 65,18 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-27 1 1 64,19 64,19 64,19 64,19 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-28 1 1 64,49 64,49 64,49 64,49 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-29 1 1 64,94 64,94 64,94 64,94 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-06-30 1 1 65,18 65,18 65,18 65,18 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-01 1 1 65,36 65,36 65,36 65,36 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-04 1 1 65,66 65,66 65,66 65,66 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-05 1 1 65,6 65,6 65,6 65,6 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-06 1 1 65,89 65,89 65,89 65,89 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-07 1 1 64,53 64,53 64,53 64,53 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-08 1 1 65,51 65,51 65,51 65,51 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-11 1 1 66,5 66,5 66,5 66,5 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-12 1 1 66,57 66,57 66,57 66,57 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-13 1 1 66,82 66,82 66,82 66,82 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-14 1 1 66,86 66,86 66,86 66,86 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-15 1 1 66,71 66,71 66,71 66,71 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-18 1 1 66,7 66,7 66,7 66,7 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-19 1 1 66,85 66,85 66,85 66,85 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-20 1 1 66,63 66,63 66,63 66,63 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-21 1 1 67,03 67,03 67,03 67,03 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-22 1 1 67,22 67,22 67,22 67,22 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-25 1 1 66,92 66,92 66,92 66,92 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-26 1 1 67,21 67,21 67,21 67,21 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-27 1 1 67,47 67,47 67,47 67,47 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-28 1 1 67,93 67,93 67,93 67,93 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-07-29 1 1 68 68 68 68 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-01 1 1 67,98 67,98 67,98 67,98 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-02 1 1 68,35 68,35 68,35 68,35 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-03 1 1 68,25 68,25 68,25 68,25 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-04 1 1 67,92 67,92 67,92 67,92 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-05 1 1 67,82 67,82 67,82 67,82 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-08 1 1 67,76 67,76 67,76 67,76 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-09 1 1 67,74 67,74 67,74 67,74 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-10 1 1 68,61 68,61 68,61 68,61 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-11 1 1 68,15 68,15 68,15 68,15 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-12 1 1 67,88 67,88 67,88 67,88 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-15 1 1 67,74 67,74 67,74 67,74 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-16 1 1 67,91 67,91 67,91 67,91 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-17 1 1 67,61 67,61 67,61 67,61 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-18 1 1 67,69 67,69 67,69 67,69 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-19 1 1 68,18 68,18 68,18 68,18 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-22 1 1 68,24 68,24 68,24 68,24 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-23 1 1 67,74 67,74 67,74 67,74 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-24 1 1 66,71 66,71 66,71 66,71 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-25 1 1 66,24 66,24 66,24 66,24 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-26 1 1 65,73 65,73 65,73 65,73 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-29 1 1 65,77 65,77 65,77 65,77 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-30 1 1 66,17 66,17 66,17 66,17 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-08-31 1 1 66,59 66,59 66,59 66,59 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-01 1 1 67,08 67,08 67,08 67,08 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-02 1 1 66,82 66,82 66,82 66,82 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-05 1 1 67,27 67,27 67,27 67,27 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-06 1 1 67,7 67,7 67,7 67,7 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-07 1 1 67,93 67,93 67,93 67,93 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-08 1 1 67,7 67,7 67,7 67,7 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-09 1 1 68,03 68,03 68,03 68,03 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-12 1 1 68,31 68,31 68,31 68,31 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-13 1 1 68,17 68,17 68,17 68,17 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-14 1 1 68,55 68,55 68,55 68,55 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-15 1 1 68,33 68,33 68,33 68,33 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-16 1 1 68,48 68,48 68,48 68,48 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-19 1 1 68,74 68,74 68,74 68,74 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-20 1 1 68,54 68,54 68,54 68,54 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-21 1 1 68,21 68,21 68,21 68,21 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-22 1 1 68,14 68,14 68,14 68,14 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-23 1 1 68,39 68,39 68,39 68,39 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-26 1 1 69,14 69,14 69,14 69,14 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-27 1 1 69,47 69,47 69,47 69,47 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-28 1 1 69,72 69,72 69,72 69,72 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-29 1 1 69,83 69,83 69,83 69,83 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-09-30 1 1 70,26 70,26 70,26 70,26 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-03 1 1 70,58 70,58 70,58 70,58 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-04 1 1 70,65 70,65 70,65 70,65 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-05 1 1 70,25 70,25 70,25 70,25 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-06 1 1 69,56 69,56 69,56 69,56 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-07 1 1 69,44 69,44 69,44 69,44 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-10 1 1 69,72 69,72 69,72 69,72 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-11 1 1 69,84 69,84 69,84 69,84 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-12 1 1 69,3 69,3 69,3 69,3 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-13 1 1 68,28 68,28 68,28 68,28 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-14 1 1 68,37 68,37 68,37 68,37 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-17 1 1 68,33 68,33 68,33 68,33 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-18 1 1 67,97 67,97 67,97 67,97 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-19 1 1 67,06 67,06 67,06 67,06 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-20 1 1 67,39 67,39 67,39 67,39 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-21 1 1 66,7 66,7 66,7 66,7 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-24 1 1 67,47 67,47 67,47 67,47 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-25 1 1 68,07 68,07 68,07 68,07 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-26 1 1 68,24 68,24 68,24 68,24 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-27 1 1 67,78 67,78 67,78 67,78 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-28 1 1 67,43 67,43 67,43 67,43 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-10-31 1 1 68,98 68,98 68,98 68,98 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-01 1 1 69,28 69,28 69,28 69,28 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-02 1 1 69,46 69,46 69,46 69,46 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-03 1 1 70,3 70,3 70,3 70,3 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-04 1 1 70,18 70,18 70,18 70,18 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-07 1 1 70,64 70,64 70,64 70,64 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-08 1 1 70,45 70,45 70,45 70,45 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-09 1 1 70,51 70,51 70,51 70,51 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-10 1 1 70,78 70,78 70,78 70,78 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-11 1 1 71,25 71,25 71,25 71,25 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-14 1 1 71,72 71,72 71,72 71,72 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-15 1 1 71,4 71,4 71,4 71,4 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-16 1 1 71,45 71,45 71,45 71,45 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-17 1 1 71,74 71,74 71,74 71,74 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-18 1 1 71,99 71,99 71,99 71,99 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-21 1 1 71,93 71,93 71,93 71,93 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-22 1 1 72,14 72,14 72,14 72,14 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-23 1 1 72,17 72,17 72,17 72,17 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-24 1 1 71,94 71,94 71,94 71,94 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-25 1 1 72,2 72,2 72,2 72,2 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-28 1 1 72,39 72,39 72,39 72,39 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-29 1 1 72,18 72,18 72,18 72,18 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-11-30 1 1 71,69 71,69 71,69 71,69 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-01 1 1 72,45 72,45 72,45 72,45 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-02 1 1 73,17 73,17 73,17 73,17 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-05 1 1 73,16 73,16 73,16 73,16 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-06 1 1 73,42 73,42 73,42 73,42 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-07 1 1 73,47 73,47 73,47 73,47 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-08 1 1 73,61 73,61 73,61 73,61 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-12 1 1 73,98 73,98 73,98 73,98 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-13 1 1 73,74 73,74 73,74 73,74 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-14 1 1 73,46 73,46 73,46 73,46 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-15 1 1 73,45 73,45 73,45 73,45 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-16 1 1 73,65 73,65 73,65 73,65 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-19 1 1 73,92 73,92 73,92 73,92 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-20 1 1 73,87 73,87 73,87 73,87 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-21 1 1 74,36 74,36 74,36 74,36 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-22 1 1 74,5 74,5 74,5 74,5 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-23 1 1 75,23 75,23 75,23 75,23 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-27 1 1 75,6 75,6 75,6 75,6 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-28 1 1 75,43 75,43 75,43 75,43 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-29 1 1 75,7 75,7 75,7 75,7 907683 Banco Fonder AB Banco Etisk Sverige Pension SEK 2005-12-30 1 1 75,39 75,39 75,39 75,39 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-03 1 1 68,64 68,64 68,64 68,64 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-04 1 1 68,66 68,66 68,66 68,66 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-05 1 1 68,43 68,43 68,43 68,43 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-07 1 1 68,97 68,97 68,97 68,97 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-10 1 1 68,69 68,69 68,69 68,69 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-11 1 1 68,07 68,07 68,07 68,07 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-12 1 1 67,54 67,54 67,54 67,54 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-13 1 1 67,74 67,74 67,74 67,74 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-14 1 1 67,97 67,97 67,97 67,97 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-17 1 1 68,47 68,47 68,47 68,47 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-18 1 1 68 68 68 68 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-19 1 1 68,09 68,09 68,09 68,09 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-20 1 1 67,41 67,41 67,41 67,41 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-21 1 1 67,67 67,67 67,67 67,67 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-24 1 1 67,5 67,5 67,5 67,5 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-25 1 1 68,16 68,16 68,16 68,16 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-26 1 1 68,46 68,46 68,46 68,46 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-27 1 1 68,21 68,21 68,21 68,21 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-28 1 1 68,58 68,58 68,58 68,58 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-01-31 1 1 69,18 69,18 69,18 69,18 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-01 1 1 69,35 69,35 69,35 69,35 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-02 1 1 69,73 69,73 69,73 69,73 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-03 1 1 69,29 69,29 69,29 69,29 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-04 1 1 69,76 69,76 69,76 69,76 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-07 1 1 70,57 70,57 70,57 70,57 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-08 1 1 70,67 70,67 70,67 70,67 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-09 1 1 70,63 70,63 70,63 70,63 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-10 1 1 70,63 70,63 70,63 70,63 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-11 1 1 70,87 70,87 70,87 70,87 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-14 1 1 71,4 71,4 71,4 71,4 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-15 1 1 71,28 71,28 71,28 71,28 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-16 1 1 70,87 70,87 70,87 70,87 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-17 1 1 71,41 71,41 71,41 71,41 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-18 1 1 71,23 71,23 71,23 71,23 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-21 1 1 71,25 71,25 71,25 71,25 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-22 1 1 70,44 70,44 70,44 70,44 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-23 1 1 70,19 70,19 70,19 70,19 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-24 1 1 70,03 70,03 70,03 70,03 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-25 1 1 70,62 70,62 70,62 70,62 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-02-28 1 1 70,78 70,78 70,78 70,78 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-01 1 1 71,12 71,12 71,12 71,12 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-02 1 1 71,03 71,03 71,03 71,03 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-03 1 1 71,5 71,5 71,5 71,5 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-04 1 1 71,54 71,54 71,54 71,54 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-07 1 1 71,7 71,7 71,7 71,7 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-08 1 1 71,33 71,33 71,33 71,33 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-09 1 1 70,91 70,91 70,91 70,91 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-10 1 1 70,86 70,86 70,86 70,86 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-11 1 1 71,12 71,12 71,12 71,12 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-14 1 1 70,69 70,69 70,69 70,69 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-15 1 1 71,49 71,49 71,49 71,49 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-16 1 1 70,54 70,54 70,54 70,54 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-17 1 1 70,34 70,34 70,34 70,34 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-18 1 1 70,71 70,71 70,71 70,71 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-21 1 1 71,03 71,03 71,03 71,03 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-22 1 1 70,85 70,85 70,85 70,85 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-23 1 1 70,44 70,44 70,44 70,44 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-24 1 1 71,18 71,18 71,18 71,18 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-29 1 1 71,16 71,16 71,16 71,16 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-30 1 1 71,01 71,01 71,01 71,01 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-03-31 1 1 71,36 71,36 71,36 71,36 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-01 1 1 71,7 71,7 71,7 71,7 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-04 1 1 70,8 70,8 70,8 70,8 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-05 1 1 71,48 71,48 71,48 71,48 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-06 1 1 71,48 71,48 71,48 71,48 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-07 1 1 71,63 71,63 71,63 71,63 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-08 1 1 72,19 72,19 72,19 72,19 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-11 1 1 71,99 71,99 71,99 71,99 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-12 1 1 71,54 71,54 71,54 71,54 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-13 1 1 71,69 71,69 71,69 71,69 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-14 1 1 71,98 71,98 71,98 71,98 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-15 1 1 70,94 70,94 70,94 70,94 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-18 1 1 69,18 69,18 69,18 69,18 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-19 1 1 69,61 69,61 69,61 69,61 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-20 1 1 68,99 68,99 68,99 68,99 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-21 1 1 69,52 69,52 69,52 69,52 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-22 1 1 69,72 69,72 69,72 69,72 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-25 1 1 69,9 69,9 69,9 69,9 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-26 1 1 69,32 69,32 69,32 69,32 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-27 1 1 68,56 68,56 68,56 68,56 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-28 1 1 68,37 68,37 68,37 68,37 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-04-29 1 1 69,03 69,03 69,03 69,03 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-02 1 1 69,69 69,69 69,69 69,69 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-03 1 1 70,08 70,08 70,08 70,08 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-04 1 1 69,88 69,88 69,88 69,88 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-06 1 1 71,04 71,04 71,04 71,04 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-09 1 1 70,87 70,87 70,87 70,87 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-10 1 1 70,37 70,37 70,37 70,37 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-11 1 1 70,4 70,4 70,4 70,4 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-12 1 1 70,85 70,85 70,85 70,85 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-13 1 1 69,59 69,59 69,59 69,59 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-16 1 1 69,95 69,95 69,95 69,95 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-17 1 1 70,19 70,19 70,19 70,19 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-18 1 1 70,81 70,81 70,81 70,81 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-19 1 1 71,4 71,4 71,4 71,4 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-20 1 1 71,69 71,69 71,69 71,69 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-23 1 1 71,9 71,9 71,9 71,9 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-24 1 1 71,72 71,72 71,72 71,72 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-25 1 1 71,83 71,83 71,83 71,83 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-26 1 1 72,27 72,27 72,27 72,27 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-27 1 1 72,38 72,38 72,38 72,38 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-30 1 1 72,63 72,63 72,63 72,63 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-05-31 1 1 72,27 72,27 72,27 72,27 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-01 1 1 72,34 72,34 72,34 72,34 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-02 1 1 73,21 73,21 73,21 73,21 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-03 1 1 73,09 73,09 73,09 73,09 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-07 1 1 73,14 73,14 73,14 73,14 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-08 1 1 73,04 73,04 73,04 73,04 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-09 1 1 73,14 73,14 73,14 73,14 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-10 1 1 73,93 73,93 73,93 73,93 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-13 1 1 74,14 74,14 74,14 74,14 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-14 1 1 75,07 75,07 75,07 75,07 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-15 1 1 74,93 74,93 74,93 74,93 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-16 1 1 74,77 74,77 74,77 74,77 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-17 1 1 75,51 75,51 75,51 75,51 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-20 1 1 74,64 74,64 74,64 74,64 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-21 1 1 75,26 75,26 75,26 75,26 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-22 1 1 75,65 75,65 75,65 75,65 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-23 1 1 76,38 76,38 76,38 76,38 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-27 1 1 75,38 75,38 75,38 75,38 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-28 1 1 76,06 76,06 76,06 76,06 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-29 1 1 76,73 76,73 76,73 76,73 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-06-30 1 1 77,25 77,25 77,25 77,25 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-01 1 1 77,64 77,64 77,64 77,64 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-04 1 1 78,12 78,12 78,12 78,12 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-05 1 1 77,54 77,54 77,54 77,54 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-06 1 1 78,1 78,1 78,1 78,1 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-07 1 1 76,23 76,23 76,23 76,23 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-08 1 1 77,47 77,47 77,47 77,47 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-11 1 1 78,67 78,67 78,67 78,67 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-12 1 1 78,68 78,68 78,68 78,68 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-13 1 1 78,36 78,36 78,36 78,36 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-14 1 1 78,77 78,77 78,77 78,77 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-15 1 1 78,93 78,93 78,93 78,93 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-18 1 1 78,69 78,69 78,69 78,69 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-19 1 1 79,71 79,71 79,71 79,71 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-20 1 1 79,41 79,41 79,41 79,41 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-21 1 1 80,04 80,04 80,04 80,04 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-22 1 1 79,47 79,47 79,47 79,47 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-25 1 1 79,27 79,27 79,27 79,27 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-26 1 1 79,46 79,46 79,46 79,46 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-27 1 1 80,06 80,06 80,06 80,06 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-28 1 1 80,06 80,06 80,06 80,06 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-07-29 1 1 79,74 79,74 79,74 79,74 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-01 1 1 79,65 79,65 79,65 79,65 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-02 1 1 79,87 79,87 79,87 79,87 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-03 1 1 79,73 79,73 79,73 79,73 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-04 1 1 79 79 79 79 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-05 1 1 78,51 78,51 78,51 78,51 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-08 1 1 78,58 78,58 78,58 78,58 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-09 1 1 79,17 79,17 79,17 79,17 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-10 1 1 80,26 80,26 80,26 80,26 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-11 1 1 79,8 79,8 79,8 79,8 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-12 1 1 79,21 79,21 79,21 79,21 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-15 1 1 79,17 79,17 79,17 79,17 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-16 1 1 79,05 79,05 79,05 79,05 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-17 1 1 78,56 78,56 78,56 78,56 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-18 1 1 78,26 78,26 78,26 78,26 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-19 1 1 78,98 78,98 78,98 78,98 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-22 1 1 79,62 79,62 79,62 79,62 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-23 1 1 79,03 79,03 79,03 79,03 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-24 1 1 78,01 78,01 78,01 78,01 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-25 1 1 77,52 77,52 77,52 77,52 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-26 1 1 77,16 77,16 77,16 77,16 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-29 1 1 76,87 76,87 76,87 76,87 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-30 1 1 77,14 77,14 77,14 77,14 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-08-31 1 1 77,65 77,65 77,65 77,65 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-01 1 1 78,23 78,23 78,23 78,23 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-02 1 1 77,59 77,59 77,59 77,59 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-05 1 1 77,92 77,92 77,92 77,92 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-06 1 1 78,74 78,74 78,74 78,74 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-07 1 1 78,97 78,97 78,97 78,97 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-08 1 1 78,92 78,92 78,92 78,92 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-09 1 1 79,59 79,59 79,59 79,59 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-12 1 1 79,36 79,36 79,36 79,36 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-13 1 1 78,98 78,98 78,98 78,98 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-14 1 1 79,14 79,14 79,14 79,14 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-15 1 1 79,51 79,51 79,51 79,51 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-16 1 1 80,06 80,06 80,06 80,06 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-19 1 1 79,94 79,94 79,94 79,94 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-20 1 1 79,95 79,95 79,95 79,95 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-21 1 1 79,17 79,17 79,17 79,17 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-22 1 1 78,59 78,59 78,59 78,59 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-23 1 1 79,02 79,02 79,02 79,02 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-26 1 1 80,42 80,42 80,42 80,42 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-27 1 1 80,72 80,72 80,72 80,72 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-28 1 1 81,3 81,3 81,3 81,3 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-29 1 1 80,97 80,97 80,97 80,97 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-09-30 1 1 81,11 81,11 81,11 81,11 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-03 1 1 81,38 81,38 81,38 81,38 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-04 1 1 81,61 81,61 81,61 81,61 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-05 1 1 81,17 81,17 81,17 81,17 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-06 1 1 79,75 79,75 79,75 79,75 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-07 1 1 80,25 80,25 80,25 80,25 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-10 1 1 80,21 80,21 80,21 80,21 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-11 1 1 80,38 80,38 80,38 80,38 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-12 1 1 80,02 80,02 80,02 80,02 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-13 1 1 79,22 79,22 79,22 79,22 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-14 1 1 80,02 80,02 80,02 80,02 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-17 1 1 80,59 80,59 80,59 80,59 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-18 1 1 80,08 80,08 80,08 80,08 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-19 1 1 78,93 78,93 78,93 78,93 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-20 1 1 79,63 79,63 79,63 79,63 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-21 1 1 78,82 78,82 78,82 78,82 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-24 1 1 79,94 79,94 79,94 79,94 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-25 1 1 80,07 80,07 80,07 80,07 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-26 1 1 79,38 79,38 79,38 79,38 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-27 1 1 78,96 78,96 78,96 78,96 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-28 1 1 78,56 78,56 78,56 78,56 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-10-31 1 1 80,27 80,27 80,27 80,27 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-01 1 1 80,35 80,35 80,35 80,35 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-02 1 1 80,27 80,27 80,27 80,27 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-03 1 1 82,39 82,39 82,39 82,39 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-04 1 1 81,81 81,81 81,81 81,81 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-07 1 1 82,2 82,2 82,2 82,2 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-08 1 1 81,52 81,52 81,52 81,52 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-09 1 1 81,52 81,52 81,52 81,52 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-10 1 1 82,53 82,53 82,53 82,53 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-11 1 1 83,31 83,31 83,31 83,31 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-14 1 1 83,01 83,01 83,01 83,01 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-15 1 1 82,71 82,71 82,71 82,71 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-16 1 1 82,93 82,93 82,93 82,93 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-17 1 1 83,36 83,36 83,36 83,36 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-18 1 1 83,58 83,58 83,58 83,58 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-21 1 1 83,5 83,5 83,5 83,5 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-22 1 1 83,47 83,47 83,47 83,47 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-23 1 1 83,54 83,54 83,54 83,54 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-24 1 1 83,35 83,35 83,35 83,35 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-25 1 1 83,54 83,54 83,54 83,54 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-28 1 1 83,47 83,47 83,47 83,47 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-29 1 1 83,32 83,32 83,32 83,32 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-11-30 1 1 83,46 83,46 83,46 83,46 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-01 1 1 84,17 84,17 84,17 84,17 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-02 1 1 84,43 84,43 84,43 84,43 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-05 1 1 83,7 83,7 83,7 83,7 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-06 1 1 83,81 83,81 83,81 83,81 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-07 1 1 84,02 84,02 84,02 84,02 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-08 1 1 83,07 83,07 83,07 83,07 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-12 1 1 84,15 84,15 84,15 84,15 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-13 1 1 84,24 84,24 84,24 84,24 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-14 1 1 84,47 84,47 84,47 84,47 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-15 1 1 84,28 84,28 84,28 84,28 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-16 1 1 85,45 85,45 85,45 85,45 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-19 1 1 85,13 85,13 85,13 85,13 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-20 1 1 84,71 84,71 84,71 84,71 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-21 1 1 85,98 85,98 85,98 85,98 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-22 1 1 86,11 86,11 86,11 86,11 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-23 1 1 86,35 86,35 86,35 86,35 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-27 1 1 87,16 87,16 87,16 87,16 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-28 1 1 86,4 86,4 86,4 86,4 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-29 1 1 86,36 86,36 86,36 86,36 950121 Banco Fonder AB Banco Euro Top 50 SEK 2005-12-30 1 1 85,8 85,8 85,8 85,8 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-03 1 1 62,42 62,42 62,42 62,42 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-04 1 1 62,49 62,49 62,49 62,49 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-05 1 1 62,36 62,36 62,36 62,36 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-07 1 1 62,52 62,52 62,52 62,52 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-10 1 1 62,74 62,74 62,74 62,74 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-11 1 1 62,62 62,62 62,62 62,62 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-12 1 1 62,37 62,37 62,37 62,37 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-13 1 1 62,35 62,35 62,35 62,35 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-14 1 1 62,49 62,49 62,49 62,49 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-17 1 1 62,64 62,64 62,64 62,64 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-18 1 1 62,54 62,54 62,54 62,54 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-19 1 1 62,68 62,68 62,68 62,68 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-20 1 1 62,43 62,43 62,43 62,43 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-21 1 1 62,43 62,43 62,43 62,43 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-24 1 1 62,27 62,27 62,27 62,27 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-25 1 1 62,46 62,46 62,46 62,46 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-26 1 1 62,53 62,53 62,53 62,53 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-27 1 1 62,45 62,45 62,45 62,45 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-28 1 1 62,55 62,55 62,55 62,55 121780 Banco Fonder AB Banco Försiktig SEK 2005-01-31 1 1 62,7 62,7 62,7 62,7 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-01 1 1 62,75 62,75 62,75 62,75 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-02 1 1 62,87 62,87 62,87 62,87 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-03 1 1 62,8 62,8 62,8 62,8 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-04 1 1 63,05 63,05 63,05 63,05 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-07 1 1 63,32 63,32 63,32 63,32 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-08 1 1 63,39 63,39 63,39 63,39 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-09 1 1 63,47 63,47 63,47 63,47 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-10 1 1 63,29 63,29 63,29 63,29 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-11 1 1 63,36 63,36 63,36 63,36 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-14 1 1 63,45 63,45 63,45 63,45 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-15 1 1 63,51 63,51 63,51 63,51 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-16 1 1 63,3 63,3 63,3 63,3 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-17 1 1 63,4 63,4 63,4 63,4 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-18 1 1 63,16 63,16 63,16 63,16 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-21 1 1 63,22 63,22 63,22 63,22 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-22 1 1 62,96 62,96 62,96 62,96 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-23 1 1 62,96 62,96 62,96 62,96 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-24 1 1 62,94 62,94 62,94 62,94 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-25 1 1 63,1 63,1 63,1 63,1 121780 Banco Fonder AB Banco Försiktig SEK 2005-02-28 1 1 63,2 63,2 63,2 63,2 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-01 1 1 63,25 63,25 63,25 63,25 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-02 1 1 63,25 63,25 63,25 63,25 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-03 1 1 63,46 63,46 63,46 63,46 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-04 1 1 63,59 63,59 63,59 63,59 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-07 1 1 63,57 63,57 63,57 63,57 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-08 1 1 63,53 63,53 63,53 63,53 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-09 1 1 63,31 63,31 63,31 63,31 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-10 1 1 63,14 63,14 63,14 63,14 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-11 1 1 63,23 63,23 63,23 63,23 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-14 1 1 63,16 63,16 63,16 63,16 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-15 1 1 63,45 63,45 63,45 63,45 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-16 1 1 63,16 63,16 63,16 63,16 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-17 1 1 63,06 63,06 63,06 63,06 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-18 1 1 63,08 63,08 63,08 63,08 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-21 1 1 63,09 63,09 63,09 63,09 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-22 1 1 63,16 63,16 63,16 63,16 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-23 1 1 63,03 63,03 63,03 63,03 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-24 1 1 63,25 63,25 63,25 63,25 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-29 1 1 63,29 63,29 63,29 63,29 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-30 1 1 63,19 63,19 63,19 63,19 121780 Banco Fonder AB Banco Försiktig SEK 2005-03-31 1 1 63,43 63,43 63,43 63,43 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-01 1 1 63,57 63,57 63,57 63,57 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-04 1 1 63,47 63,47 63,47 63,47 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-05 1 1 63,74 63,74 63,74 63,74 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-06 1 1 63,85 63,85 63,85 63,85 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-07 1 1 63,86 63,86 63,86 63,86 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-08 1 1 64,04 64,04 64,04 64,04 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-11 1 1 64 64 64 64 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-12 1 1 63,88 63,88 63,88 63,88 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-13 1 1 64,14 64,14 64,14 64,14 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-14 1 1 64,25 64,25 64,25 64,25 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-15 1 1 64,04 64,04 64,04 64,04 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-18 1 1 63,62 63,62 63,62 63,62 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-19 1 1 63,77 63,77 63,77 63,77 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-20 1 1 63,73 63,73 63,73 63,73 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-21 1 1 63,75 63,75 63,75 63,75 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-22 1 1 63,98 63,98 63,98 63,98 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-25 1 1 63,96 63,96 63,96 63,96 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-26 1 1 63,87 63,87 63,87 63,87 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-27 1 1 63,61 63,61 63,61 63,61 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-28 1 1 63,52 63,52 63,52 63,52 121780 Banco Fonder AB Banco Försiktig SEK 2005-04-29 1 1 63,71 63,71 63,71 63,71 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-02 1 1 63,96 63,96 63,96 63,96 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-03 1 1 63,99 63,99 63,99 63,99 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-04 1 1 63,91 63,91 63,91 63,91 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-06 1 1 64,11 64,11 64,11 64,11 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-09 1 1 64,21 64,21 64,21 64,21 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-10 1 1 64,17 64,17 64,17 64,17 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-11 1 1 64,19 64,19 64,19 64,19 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-12 1 1 64,34 64,34 64,34 64,34 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-13 1 1 62,72 62,72 62,72 62,72 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-16 1 1 62,81 62,81 62,81 62,81 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-17 1 1 62,94 62,94 62,94 62,94 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-18 1 1 63,18 63,18 63,18 63,18 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-19 1 1 63,24 63,24 63,24 63,24 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-20 1 1 63,2 63,2 63,2 63,2 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-23 1 1 63,26 63,26 63,26 63,26 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-24 1 1 63,35 63,35 63,35 63,35 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-25 1 1 63,35 63,35 63,35 63,35 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-26 1 1 63,44 63,44 63,44 63,44 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-27 1 1 63,53 63,53 63,53 63,53 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-30 1 1 63,54 63,54 63,54 63,54 121780 Banco Fonder AB Banco Försiktig SEK 2005-05-31 1 1 63,68 63,68 63,68 63,68 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-01 1 1 63,74 63,74 63,74 63,74 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-02 1 1 63,89 63,89 63,89 63,89 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-03 1 1 63,92 63,92 63,92 63,92 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-07 1 1 64,04 64,04 64,04 64,04 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-08 1 1 64,19 64,19 64,19 64,19 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-09 1 1 64,19 64,19 64,19 64,19 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-10 1 1 64,31 64,31 64,31 64,31 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-13 1 1 64,37 64,37 64,37 64,37 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-14 1 1 64,55 64,55 64,55 64,55 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-15 1 1 64,54 64,54 64,54 64,54 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-16 1 1 64,46 64,46 64,46 64,46 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-17 1 1 64,67 64,67 64,67 64,67 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-20 1 1 64,53 64,53 64,53 64,53 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-21 1 1 64,82 64,82 64,82 64,82 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-22 1 1 64,99 64,99 64,99 64,99 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-23 1 1 65,21 65,21 65,21 65,21 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-27 1 1 64,88 64,88 64,88 64,88 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-28 1 1 64,99 64,99 64,99 64,99 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-29 1 1 65,26 65,26 65,26 65,26 121780 Banco Fonder AB Banco Försiktig SEK 2005-06-30 1 1 65,3 65,3 65,3 65,3 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-01 1 1 65,35 65,35 65,35 65,35 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-04 1 1 65,48 65,48 65,48 65,48 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-05 1 1 65,39 65,39 65,39 65,39 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-06 1 1 65,51 65,51 65,51 65,51 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-07 1 1 65,07 65,07 65,07 65,07 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-08 1 1 65,43 65,43 65,43 65,43 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-11 1 1 65,71 65,71 65,71 65,71 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-12 1 1 65,63 65,63 65,63 65,63 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-13 1 1 65,6 65,6 65,6 65,6 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-14 1 1 65,7 65,7 65,7 65,7 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-15 1 1 65,62 65,62 65,62 65,62 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-18 1 1 65,63 65,63 65,63 65,63 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-19 1 1 65,79 65,79 65,79 65,79 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-20 1 1 65,7 65,7 65,7 65,7 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-21 1 1 65,82 65,82 65,82 65,82 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-22 1 1 65,83 65,83 65,83 65,83 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-25 1 1 65,88 65,88 65,88 65,88 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-26 1 1 65,92 65,92 65,92 65,92 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-27 1 1 66,11 66,11 66,11 66,11 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-28 1 1 66,17 66,17 66,17 66,17 121780 Banco Fonder AB Banco Försiktig SEK 2005-07-29 1 1 66,05 66,05 66,05 66,05 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-01 1 1 65,9 65,9 65,9 65,9 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-02 1 1 65,93 65,93 65,93 65,93 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-03 1 1 65,89 65,89 65,89 65,89 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-04 1 1 65,75 65,75 65,75 65,75 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-05 1 1 65,55 65,55 65,55 65,55 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-08 1 1 65,52 65,52 65,52 65,52 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-09 1 1 65,55 65,55 65,55 65,55 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-10 1 1 66,06 66,06 66,06 66,06 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-11 1 1 65,78 65,78 65,78 65,78 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-12 1 1 65,68 65,68 65,68 65,68 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-15 1 1 65,71 65,71 65,71 65,71 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-16 1 1 65,79 65,79 65,79 65,79 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-17 1 1 65,72 65,72 65,72 65,72 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-18 1 1 65,72 65,72 65,72 65,72 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-19 1 1 65,94 65,94 65,94 65,94 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-22 1 1 66,03 66,03 66,03 66,03 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-23 1 1 65,88 65,88 65,88 65,88 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-24 1 1 65,59 65,59 65,59 65,59 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-25 1 1 65,37 65,37 65,37 65,37 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-26 1 1 65,25 65,25 65,25 65,25 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-29 1 1 65,2 65,2 65,2 65,2 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-30 1 1 65,37 65,37 65,37 65,37 121780 Banco Fonder AB Banco Försiktig SEK 2005-08-31 1 1 65,55 65,55 65,55 65,55 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-01 1 1 65,69 65,69 65,69 65,69 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-02 1 1 65,52 65,52 65,52 65,52 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-05 1 1 65,63 65,63 65,63 65,63 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-06 1 1 65,81 65,81 65,81 65,81 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-07 1 1 65,85 65,85 65,85 65,85 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-08 1 1 65,91 65,91 65,91 65,91 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-09 1 1 66,09 66,09 66,09 66,09 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-12 1 1 66,13 66,13 66,13 66,13 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-13 1 1 66,05 66,05 66,05 66,05 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-14 1 1 66,16 66,16 66,16 66,16 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-15 1 1 66,17 66,17 66,17 66,17 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-16 1 1 66,17 66,17 66,17 66,17 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-19 1 1 66,32 66,32 66,32 66,32 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-20 1 1 66,32 66,32 66,32 66,32 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-21 1 1 66,17 66,17 66,17 66,17 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-22 1 1 66,06 66,06 66,06 66,06 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-23 1 1 66,14 66,14 66,14 66,14 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-26 1 1 66,41 66,41 66,41 66,41 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-27 1 1 66,48 66,48 66,48 66,48 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-28 1 1 66,55 66,55 66,55 66,55 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-29 1 1 66,47 66,47 66,47 66,47 121780 Banco Fonder AB Banco Försiktig SEK 2005-09-30 1 1 66,6 66,6 66,6 66,6 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-03 1 1 66,63 66,63 66,63 66,63 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-04 1 1 66,71 66,71 66,71 66,71 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-05 1 1 66,55 66,55 66,55 66,55 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-06 1 1 66,13 66,13 66,13 66,13 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-07 1 1 66,1 66,1 66,1 66,1 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-10 1 1 66,16 66,16 66,16 66,16 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-11 1 1 66,27 66,27 66,27 66,27 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-12 1 1 66,12 66,12 66,12 66,12 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-13 1 1 65,82 65,82 65,82 65,82 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-14 1 1 65,91 65,91 65,91 65,91 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-17 1 1 65,95 65,95 65,95 65,95 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-18 1 1 65,87 65,87 65,87 65,87 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-19 1 1 65,66 65,66 65,66 65,66 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-20 1 1 65,78 65,78 65,78 65,78 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-21 1 1 65,56 65,56 65,56 65,56 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-24 1 1 65,9 65,9 65,9 65,9 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-25 1 1 66,03 66,03 66,03 66,03 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-26 1 1 65,87 65,87 65,87 65,87 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-27 1 1 65,74 65,74 65,74 65,74 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-28 1 1 65,61 65,61 65,61 65,61 121780 Banco Fonder AB Banco Försiktig SEK 2005-10-31 1 1 66,16 66,16 66,16 66,16 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-01 1 1 66,28 66,28 66,28 66,28 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-02 1 1 66,32 66,32 66,32 66,32 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-03 1 1 66,69 66,69 66,69 66,69 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-04 1 1 66,63 66,63 66,63 66,63 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-07 1 1 66,78 66,78 66,78 66,78 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-08 1 1 66,72 66,72 66,72 66,72 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-09 1 1 66,66 66,66 66,66 66,66 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-10 1 1 66,82 66,82 66,82 66,82 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-11 1 1 67,08 67,08 67,08 67,08 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-14 1 1 67,08 67,08 67,08 67,08 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-15 1 1 66,99 66,99 66,99 66,99 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-16 1 1 67,1 67,1 67,1 67,1 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-17 1 1 67,24 67,24 67,24 67,24 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-18 1 1 67,29 67,29 67,29 67,29 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-21 1 1 67,19 67,19 67,19 67,19 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-22 1 1 67,3 67,3 67,3 67,3 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-23 1 1 67,25 67,25 67,25 67,25 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-24 1 1 67,26 67,26 67,26 67,26 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-25 1 1 67,33 67,33 67,33 67,33 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-28 1 1 67,36 67,36 67,36 67,36 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-29 1 1 67,24 67,24 67,24 67,24 121780 Banco Fonder AB Banco Försiktig SEK 2005-11-30 1 1 67,15 67,15 67,15 67,15 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-01 1 1 67,39 67,39 67,39 67,39 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-02 1 1 67,56 67,56 67,56 67,56 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-05 1 1 67,45 67,45 67,45 67,45 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-06 1 1 67,48 67,48 67,48 67,48 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-07 1 1 67,56 67,56 67,56 67,56 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-08 1 1 67,44 67,44 67,44 67,44 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-12 1 1 67,58 67,58 67,58 67,58 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-13 1 1 67,51 67,51 67,51 67,51 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-14 1 1 67,47 67,47 67,47 67,47 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-15 1 1 67,47 67,47 67,47 67,47 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-16 1 1 67,6 67,6 67,6 67,6 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-19 1 1 67,6 67,6 67,6 67,6 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-20 1 1 67,52 67,52 67,52 67,52 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-21 1 1 67,78 67,78 67,78 67,78 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-22 1 1 67,8 67,8 67,8 67,8 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-23 1 1 67,95 67,95 67,95 67,95 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-27 1 1 68,14 68,14 68,14 68,14 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-28 1 1 67,96 67,96 67,96 67,96 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-29 1 1 68,02 68,02 68,02 68,02 121780 Banco Fonder AB Banco Försiktig SEK 2005-12-30 1 1 67,95 67,95 67,95 67,95 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-03 1 1 58,81 58,81 58,81 58,81 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-04 1 1 58,97 58,97 58,97 58,97 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-05 1 1 58,47 58,47 58,47 58,47 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-07 1 1 58,58 58,58 58,58 58,58 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-10 1 1 59,23 59,23 59,23 59,23 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-11 1 1 58,93 58,93 58,93 58,93 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-12 1 1 57,89 57,89 57,89 57,89 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-13 1 1 57,93 57,93 57,93 57,93 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-14 1 1 58,19 58,19 58,19 58,19 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-17 1 1 58,54 58,54 58,54 58,54 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-18 1 1 58,15 58,15 58,15 58,15 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-19 1 1 58,6 58,6 58,6 58,6 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-20 1 1 57,95 57,95 57,95 57,95 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-21 1 1 57,8 57,8 57,8 57,8 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-24 1 1 57,12 57,12 57,12 57,12 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-25 1 1 57,79 57,79 57,79 57,79 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-26 1 1 57,87 57,87 57,87 57,87 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-27 1 1 58,02 58,02 58,02 58,02 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-28 1 1 57,84 57,84 57,84 57,84 986018 Banco Fonder AB Banco Human Pension SEK 2005-01-31 1 1 58,27 58,27 58,27 58,27 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-01 1 1 58,44 58,44 58,44 58,44 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-02 1 1 58,94 58,94 58,94 58,94 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-03 1 1 58,82 58,82 58,82 58,82 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-04 1 1 59,21 59,21 59,21 59,21 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-07 1 1 59,76 59,76 59,76 59,76 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-08 1 1 59,84 59,84 59,84 59,84 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-09 1 1 59,98 59,98 59,98 59,98 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-10 1 1 59,38 59,38 59,38 59,38 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-11 1 1 59,82 59,82 59,82 59,82 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-14 1 1 60,1 60,1 60,1 60,1 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-15 1 1 60,48 60,48 60,48 60,48 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-16 1 1 59,73 59,73 59,73 59,73 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-17 1 1 60,21 60,21 60,21 60,21 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-18 1 1 59,66 59,66 59,66 59,66 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-21 1 1 59,91 59,91 59,91 59,91 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-22 1 1 59,37 59,37 59,37 59,37 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-23 1 1 59,6 59,6 59,6 59,6 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-24 1 1 59,85 59,85 59,85 59,85 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-25 1 1 60,17 60,17 60,17 60,17 986018 Banco Fonder AB Banco Human Pension SEK 2005-02-28 1 1 60,47 60,47 60,47 60,47 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-01 1 1 60,47 60,47 60,47 60,47 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-02 1 1 60,56 60,56 60,56 60,56 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-03 1 1 60,98 60,98 60,98 60,98 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-04 1 1 61,21 61,21 61,21 61,21 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-07 1 1 61,09 61,09 61,09 61,09 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-08 1 1 60,94 60,94 60,94 60,94 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-09 1 1 60,66 60,66 60,66 60,66 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-10 1 1 60,4 60,4 60,4 60,4 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-11 1 1 60,76 60,76 60,76 60,76 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-14 1 1 60,52 60,52 60,52 60,52 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-15 1 1 61,09 61,09 61,09 61,09 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-16 1 1 60,36 60,36 60,36 60,36 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-17 1 1 60,12 60,12 60,12 60,12 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-18 1 1 60,13 60,13 60,13 60,13 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-21 1 1 59,99 59,99 59,99 59,99 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-22 1 1 60,22 60,22 60,22 60,22 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-23 1 1 59,95 59,95 59,95 59,95 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-24 1 1 60,5 60,5 60,5 60,5 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-29 1 1 60,48 60,48 60,48 60,48 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-30 1 1 60,07 60,07 60,07 60,07 986018 Banco Fonder AB Banco Human Pension SEK 2005-03-31 1 1 60,54 60,54 60,54 60,54 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-01 1 1 60,84 60,84 60,84 60,84 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-04 1 1 60,63 60,63 60,63 60,63 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-05 1 1 61,23 61,23 61,23 61,23 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-06 1 1 61,73 61,73 61,73 61,73 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-07 1 1 61,84 61,84 61,84 61,84 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-08 1 1 62,26 62,26 62,26 62,26 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-11 1 1 62,34 62,34 62,34 62,34 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-12 1 1 62,17 62,17 62,17 62,17 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-13 1 1 62,73 62,73 62,73 62,73 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-14 1 1 63,18 63,18 63,18 63,18 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-15 1 1 62,3 62,3 62,3 62,3 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-18 1 1 61,28 61,28 61,28 61,28 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-19 1 1 61,67 61,67 61,67 61,67 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-20 1 1 61,73 61,73 61,73 61,73 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-21 1 1 61,77 61,77 61,77 61,77 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-22 1 1 62,33 62,33 62,33 62,33 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-25 1 1 62,05 62,05 62,05 62,05 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-26 1 1 61,65 61,65 61,65 61,65 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-27 1 1 60,51 60,51 60,51 60,51 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-28 1 1 59,86 59,86 59,86 59,86 986018 Banco Fonder AB Banco Human Pension SEK 2005-04-29 1 1 60,42 60,42 60,42 60,42 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-02 1 1 60,82 60,82 60,82 60,82 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-03 1 1 60,82 60,82 60,82 60,82 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-04 1 1 60,93 60,93 60,93 60,93 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-06 1 1 61,61 61,61 61,61 61,61 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-09 1 1 61,7 61,7 61,7 61,7 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-10 1 1 61,26 61,26 61,26 61,26 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-11 1 1 61,23 61,23 61,23 61,23 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-12 1 1 61,53 61,53 61,53 61,53 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-13 1 1 60,39 60,39 60,39 60,39 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-16 1 1 60,51 60,51 60,51 60,51 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-17 1 1 60,79 60,79 60,79 60,79 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-18 1 1 61,29 61,29 61,29 61,29 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-19 1 1 61,45 61,45 61,45 61,45 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-20 1 1 61,37 61,37 61,37 61,37 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-23 1 1 61,45 61,45 61,45 61,45 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-24 1 1 61,57 61,57 61,57 61,57 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-25 1 1 61,67 61,67 61,67 61,67 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-26 1 1 61,93 61,93 61,93 61,93 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-27 1 1 62,09 62,09 62,09 62,09 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-30 1 1 62,18 62,18 62,18 62,18 986018 Banco Fonder AB Banco Human Pension SEK 2005-05-31 1 1 62,32 62,32 62,32 62,32 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-01 1 1 62,3 62,3 62,3 62,3 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-02 1 1 62,18 62,18 62,18 62,18 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-03 1 1 62,06 62,06 62,06 62,06 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-07 1 1 62,32 62,32 62,32 62,32 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-08 1 1 62,73 62,73 62,73 62,73 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-09 1 1 62,57 62,57 62,57 62,57 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-10 1 1 62,85 62,85 62,85 62,85 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-13 1 1 62,86 62,86 62,86 62,86 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-14 1 1 63,38 63,38 63,38 63,38 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-15 1 1 63,34 63,34 63,34 63,34 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-16 1 1 63,22 63,22 63,22 63,22 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-17 1 1 63,65 63,65 63,65 63,65 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-20 1 1 63,57 63,57 63,57 63,57 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-21 1 1 63,74 63,74 63,74 63,74 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-22 1 1 64,04 64,04 64,04 64,04 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-23 1 1 64,39 64,39 64,39 64,39 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-27 1 1 63,41 63,41 63,41 63,41 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-28 1 1 63,71 63,71 63,71 63,71 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-29 1 1 64,15 64,15 64,15 64,15 986018 Banco Fonder AB Banco Human Pension SEK 2005-06-30 1 1 64,38 64,38 64,38 64,38 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-01 1 1 64,57 64,57 64,57 64,57 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-04 1 1 64,87 64,87 64,87 64,87 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-05 1 1 64,81 64,81 64,81 64,81 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-06 1 1 65,09 65,09 65,09 65,09 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-07 1 1 63,74 63,74 63,74 63,74 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-08 1 1 64,72 64,72 64,72 64,72 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-11 1 1 65,68 65,68 65,68 65,68 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-12 1 1 65,76 65,76 65,76 65,76 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-13 1 1 66,01 66,01 66,01 66,01 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-14 1 1 66,05 66,05 66,05 66,05 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-15 1 1 65,9 65,9 65,9 65,9 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-18 1 1 65,89 65,89 65,89 65,89 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-19 1 1 66,04 66,04 66,04 66,04 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-20 1 1 65,82 65,82 65,82 65,82 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-21 1 1 66,22 66,22 66,22 66,22 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-22 1 1 66,4 66,4 66,4 66,4 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-25 1 1 66,11 66,11 66,11 66,11 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-26 1 1 66,4 66,4 66,4 66,4 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-27 1 1 66,66 66,66 66,66 66,66 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-28 1 1 67,11 67,11 67,11 67,11 986018 Banco Fonder AB Banco Human Pension SEK 2005-07-29 1 1 67,17 67,17 67,17 67,17 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-01 1 1 67,15 67,15 67,15 67,15 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-02 1 1 67,52 67,52 67,52 67,52 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-03 1 1 67,43 67,43 67,43 67,43 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-04 1 1 67,1 67,1 67,1 67,1 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-05 1 1 67,01 67,01 67,01 67,01 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-08 1 1 66,94 66,94 66,94 66,94 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-09 1 1 66,93 66,93 66,93 66,93 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-10 1 1 67,77 67,77 67,77 67,77 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-11 1 1 67,33 67,33 67,33 67,33 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-12 1 1 67,06 67,06 67,06 67,06 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-15 1 1 66,92 66,92 66,92 66,92 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-16 1 1 67,1 67,1 67,1 67,1 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-17 1 1 66,8 66,8 66,8 66,8 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-18 1 1 66,88 66,88 66,88 66,88 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-19 1 1 67,36 67,36 67,36 67,36 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-22 1 1 67,41 67,41 67,41 67,41 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-23 1 1 66,92 66,92 66,92 66,92 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-24 1 1 65,91 65,91 65,91 65,91 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-25 1 1 65,45 65,45 65,45 65,45 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-26 1 1 64,95 64,95 64,95 64,95 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-29 1 1 64,98 64,98 64,98 64,98 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-30 1 1 65,38 65,38 65,38 65,38 986018 Banco Fonder AB Banco Human Pension SEK 2005-08-31 1 1 65,79 65,79 65,79 65,79 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-01 1 1 66,27 66,27 66,27 66,27 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-02 1 1 66,02 66,02 66,02 66,02 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-05 1 1 66,46 66,46 66,46 66,46 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-06 1 1 66,88 66,88 66,88 66,88 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-07 1 1 67,11 67,11 67,11 67,11 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-08 1 1 66,88 66,88 66,88 66,88 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-09 1 1 67,21 67,21 67,21 67,21 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-12 1 1 67,49 67,49 67,49 67,49 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-13 1 1 67,34 67,34 67,34 67,34 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-14 1 1 67,72 67,72 67,72 67,72 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-15 1 1 67,51 67,51 67,51 67,51 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-16 1 1 67,65 67,65 67,65 67,65 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-19 1 1 67,9 67,9 67,9 67,9 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-20 1 1 67,71 67,71 67,71 67,71 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-21 1 1 67,38 67,38 67,38 67,38 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-22 1 1 67,31 67,31 67,31 67,31 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-23 1 1 67,55 67,55 67,55 67,55 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-26 1 1 68,29 68,29 68,29 68,29 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-27 1 1 68,62 68,62 68,62 68,62 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-28 1 1 68,87 68,87 68,87 68,87 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-29 1 1 68,97 68,97 68,97 68,97 986018 Banco Fonder AB Banco Human Pension SEK 2005-09-30 1 1 69,4 69,4 69,4 69,4 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-03 1 1 69,71 69,71 69,71 69,71 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-04 1 1 69,78 69,78 69,78 69,78 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-05 1 1 69,39 69,39 69,39 69,39 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-06 1 1 68,71 68,71 68,71 68,71 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-07 1 1 68,59 68,59 68,59 68,59 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-10 1 1 68,87 68,87 68,87 68,87 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-11 1 1 68,99 68,99 68,99 68,99 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-12 1 1 68,46 68,46 68,46 68,46 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-13 1 1 67,45 67,45 67,45 67,45 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-14 1 1 67,53 67,53 67,53 67,53 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-17 1 1 67,49 67,49 67,49 67,49 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-18 1 1 67,15 67,15 67,15 67,15 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-19 1 1 66,24 66,24 66,24 66,24 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-20 1 1 66,57 66,57 66,57 66,57 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-21 1 1 65,89 65,89 65,89 65,89 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-24 1 1 66,64 66,64 66,64 66,64 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-25 1 1 67,24 67,24 67,24 67,24 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-26 1 1 67,41 67,41 67,41 67,41 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-27 1 1 66,95 66,95 66,95 66,95 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-28 1 1 66,6 66,6 66,6 66,6 986018 Banco Fonder AB Banco Human Pension SEK 2005-10-31 1 1 68,13 68,13 68,13 68,13 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-01 1 1 68,43 68,43 68,43 68,43 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-02 1 1 68,61 68,61 68,61 68,61 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-03 1 1 69,43 69,43 69,43 69,43 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-04 1 1 69,32 69,32 69,32 69,32 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-07 1 1 69,77 69,77 69,77 69,77 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-08 1 1 69,59 69,59 69,59 69,59 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-09 1 1 69,64 69,64 69,64 69,64 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-10 1 1 69,91 69,91 69,91 69,91 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-11 1 1 70,37 70,37 70,37 70,37 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-14 1 1 70,84 70,84 70,84 70,84 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-15 1 1 70,52 70,52 70,52 70,52 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-16 1 1 70,57 70,57 70,57 70,57 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-17 1 1 70,86 70,86 70,86 70,86 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-18 1 1 71,1 71,1 71,1 71,1 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-21 1 1 71,04 71,04 71,04 71,04 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-22 1 1 71,25 71,25 71,25 71,25 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-23 1 1 71,28 71,28 71,28 71,28 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-24 1 1 71,05 71,05 71,05 71,05 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-25 1 1 71,3 71,3 71,3 71,3 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-28 1 1 71,49 71,49 71,49 71,49 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-29 1 1 71,28 71,28 71,28 71,28 986018 Banco Fonder AB Banco Human Pension SEK 2005-11-30 1 1 70,8 70,8 70,8 70,8 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-01 1 1 71,55 71,55 71,55 71,55 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-02 1 1 72,26 72,26 72,26 72,26 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-05 1 1 72,26 72,26 72,26 72,26 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-06 1 1 72,51 72,51 72,51 72,51 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-07 1 1 72,56 72,56 72,56 72,56 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-08 1 1 72,69 72,69 72,69 72,69 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-12 1 1 73,06 73,06 73,06 73,06 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-13 1 1 72,83 72,83 72,83 72,83 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-14 1 1 72,54 72,54 72,54 72,54 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-15 1 1 72,54 72,54 72,54 72,54 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-16 1 1 72,74 72,74 72,74 72,74 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-19 1 1 73 73 73 73 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-20 1 1 72,96 72,96 72,96 72,96 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-21 1 1 73,44 73,44 73,44 73,44 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-22 1 1 73,57 73,57 73,57 73,57 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-23 1 1 74,3 74,3 74,3 74,3 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-27 1 1 74,66 74,66 74,66 74,66 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-28 1 1 74,49 74,49 74,49 74,49 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-29 1 1 74,76 74,76 74,76 74,76 986018 Banco Fonder AB Banco Human Pension SEK 2005-12-30 1 1 74,46 74,46 74,46 74,46 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-01-27 1,0988 1,0972 130,87 130,87 143,799956 143,590564 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-01-28 1,1033 1,1017 131,2601 131,2601 144,81926833 144,60925217 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-01-31 1,1028 1,1012 130,8455 130,8455 144,2964174 144,0870646 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-01 1,0983 1,0967 131,6687 131,6687 144,61173321 144,40106329 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-02 1,0988 1,0972 132,8108 132,8108 145,93250704 145,72000976 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-03 1,0983 1,0967 132,8502 132,8502 145,90937466 145,69681434 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-04 1,0968 1,0952 135,4305 135,4305 148,5401724 148,3234836 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-07 1,0938 1,0922 137,1535 137,1535 150,0184983 149,7990527 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-08 1,0898 1,0882 135,652 135,652 147,8335496 147,6165064 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-09 1,0843 1,0827 135,9414 135,9414 147,40126002 147,18375378 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-10 1,0848 1,0832 135,9644 135,9644 147,49418112 147,27663808 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-11 1,0788 1,0772 136,3297 136,3297 147,07248036 146,85435284 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-14 1,0828 1,0812 137,3866 137,3866 148,76221048 148,54239192 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-15 1,0833 1,0817 138,0227 138,0227 149,51999091 149,29915459 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-16 1,0848 1,0832 136,485 136,485 148,058928 147,840552 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-17 1,0863 1,0847 136,7244 136,7244 148,52371572 148,30495668 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-18 1,0943 1,0927 135,32 135,32 148,080676 147,864164 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-21 1,0998 1,0982 135,9877 135,9877 149,55927246 149,34169214 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-22 1,1028 1,1012 135,3429 135,3429 149,25615012 149,03960148 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-23 1,1023 1,1007 135,4874 135,4874 149,34776102 149,13098118 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-24 1,1013 1,0997 136,7936 136,7936 150,65079168 150,43192192 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-25 1,1018 1,1002 137,9608 137,9608 152,00520944 151,78447216 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-02-28 1,0968 1,0952 138,1437 138,1437 151,51601016 151,29498024 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-01 1,1013 1,0997 138,5961 138,5961 152,63588493 152,41413117 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-02 1,1068 1,1052 137,9274 137,9274 152,65804632 152,43736248 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-03 1,1058 1,1042 139,4409 139,4409 154,19374722 153,97064178 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-04 1,1013 1,0997 141,0042 141,0042 155,28792546 155,06231874 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-07 1,1003 1,0987 141,0059 141,0059 155,14879177 154,92318233 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-08 1,1033 1,1017 140,3106 140,3106 154,80468498 154,58018802 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-09 1,1053 1,1037 139,9135 139,9135 154,64639155 154,42252995 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-10 1,1053 1,1037 138,0876 138,0876 152,62822428 152,40728412 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-11 1,1113 1,1097 138,6405 138,6405 154,07118765 153,84936285 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-14 1,1113 1,1097 138,344 138,344 153,7416872 153,5203368 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-15 1,1138 1,1122 139,3676 139,3676 155,22763288 155,00464472 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-16 1,1128 1,1112 137,624 137,624 153,1479872 152,9277888 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-17 1,1193 1,1177 139,9688 139,9688 156,66707784 156,44312776 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-18 1,1193 1,1177 140,335 140,335 157,0769655 156,8524295 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-21 1,1218 1,1202 139,8633 139,8633 156,89864994 156,67486866 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-22 1,1183 1,1167 139,0164 139,0164 155,46204012 155,23961388 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-23 1,1158 1,1142 137,2034 137,2034 153,09155372 152,87202828 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-29 1,1103 1,1087 137,3143 137,3143 152,46006729 152,24036441 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-30 1,1168 1,1152 136,1051 136,1051 152,00217568 151,78440752 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-03-31 1,1163 1,1147 137,713 137,713 153,7290219 153,5086811 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-01 1,1173 1,1157 138,2075 138,2075 154,41923975 154,19810775 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-04 1,1198 1,1182 138,4976 138,4976 155,08961248 154,86801632 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-05 1,1223 1,1207 138,7836 138,7836 155,75683428 155,53478052 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-06 1,1243 1,1227 139,2231 139,2231 156,52853133 156,30577437 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-07 1,1208 1,1192 140,0168 140,0168 156,93082944 156,70680256 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-08 1,1208 1,1192 140,4786 140,4786 157,44841488 157,22364912 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-11 1,1203 1,1187 139,4419 139,4419 156,21676057 155,99365353 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-12 1,1173 1,1157 139,4455 139,4455 155,80245715 155,57934435 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-13 1,1183 1,1167 140,0632 140,0632 156,63267656 156,40857544 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-14 1,1153 1,1137 139,5076 139,5076 155,59282628 155,36961412 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-15 1,1178 1,1162 136,6596 136,6596 152,75810088 152,53944552 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-18 1,1148 1,1132 132,5161 132,5161 147,72894828 147,51692252 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-19 1,1213 1,1197 133,1106 133,1106 149,25691578 149,04393882 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-20 1,1218 1,1202 133,145 133,145 149,362061 149,149029 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-21 1,1253 1,1237 133,2523 133,2523 149,94881319 149,73560951 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-22 1,1248 1,1232 134,4125 134,4125 151,18718 150,97212 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-25 1,1258 1,1242 134,9787 134,9787 151,95902046 151,74305454 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-26 1,1243 1,1227 133,7264 133,7264 150,34859152 150,13462928 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-27 1,1253 1,1237 129,8732 129,8732 146,14631196 145,93851484 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-28 1,1248 1,1232 128,5064 128,5064 144,54399872 144,33838848 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-04-29 1,1268 1,1252 128,5119 128,5119 144,80720892 144,60158988 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-02 1,1313 1,1297 129,3939 129,3939 146,38331907 146,17628883 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-03 1,1343 1,1327 130,2504 130,2504 147,74302872 147,53462808 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-04 1,1323 1,1307 129,1545 129,1545 146,24164035 146,03499315 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-06 1,1313 1,1297 132,5332 132,5332 149,93480916 149,72275604 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-09 1,1288 1,1272 133,5411 133,5411 150,74119368 150,52752792 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-10 1,1328 1,1312 132,7204 132,7204 150,34566912 150,13331648 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-11 1,1398 1,1382 132,7786 132,7786 151,34104828 151,12860252 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-12 1,1418 1,1402 132,6956 132,6956 151,51183608 151,29952312 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-13 1,1373 1,1357 131,2977 131,2977 149,32487421 149,11479789 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-18 1,1373 1,1357 132,6889 132,6889 150,90708597 150,69478373 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-19 1,1328 1,1312 134,3188 134,3188 152,15633664 151,94142656 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-20 1,1338 1,1322 135,0296 135,0296 153,09656048 152,88051312 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-23 1,1303 1,1287 135,0034 135,0034 152,59434302 152,37833758 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-24 1,1323 1,1307 135,7782 135,7782 153,74165586 153,52441074 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-25 1,1353 1,1337 135,7616 135,7616 154,13014448 153,91292592 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-26 1,1478 1,1462 137,4839 137,4839 157,80402042 157,58404618 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-27 1,1528 1,1512 137,9427 137,9427 159,02034456 158,79963624 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-30 1,1538 1,1522 138,4009 138,4009 159,68695842 159,46551698 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-05-31 1,1488 1,1472 137,8629 137,8629 158,37689952 158,15631888 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-01 1,1533 1,1517 139,183 139,183 160,5197539 160,2970611 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-02 1,1563 1,1547 139,8029 139,8029 161,65409327 161,43040863 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-03 1,1533 1,1517 139,9781 139,9781 161,43674273 161,21277777 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-07 1,1613 1,1597 140,3556 140,3556 162,99495828 162,77038932 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-08 1,1593 1,1577 142,0126 142,0126 164,63520718 164,40798702 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-09 1,1618 1,1602 141,8491 141,8491 164,80028438 164,57332582 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-10 1,1648 1,1632 143,5078 143,5078 167,15788544 166,92827296 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-13 1,1778 1,1762 143,3636 143,3636 168,85364808 168,62426632 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-14 1,1823 1,1807 144,2987 144,2987 170,60435301 170,37347509 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-15 1,1798 1,1782 144,2279 144,2279 170,16007642 169,92931178 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-16 1,1773 1,1757 145,2081 145,2081 170,95349613 170,72116317 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-17 1,1798 1,1782 145,971 145,971 172,2165858 171,9830322 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-20 1,1728 1,1712 146,2 146,2 171,46336 171,22944 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-21 1,1803 1,1787 146,7082 146,7082 173,15968846 172,92495534 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-22 1,1773 1,1757 146,8084 146,8084 172,83752932 172,60263588 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-23 1,1853 1,1837 147,9387 147,9387 175,35174111 175,11503919 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-27 1,1838 1,1822 146,9143 146,9143 173,91714834 173,68208546 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-28 1,1833 1,1817 149,0142 149,0142 176,32850286 176,09008014 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-29 1,1888 1,1872 149,9131 149,9131 178,21669328 177,97683232 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-06-30 1,1933 1,1917 150,2764 150,2764 179,32482812 179,08438588 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-01 1,1983 1,1967 151,429 151,429 181,4573707 181,2150843 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-04 1,2048 1,2032 153,0235 153,0235 184,3627128 184,1178752 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-05 1,1983 1,1967 153,1396 153,1396 183,50718268 183,26215932 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-06 1,1918 1,1902 155,6983 155,6983 185,56123394 185,31211666 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-07 1,1883 1,1867 152,1627 152,1627 180,81493641 180,57147609 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-08 1,1943 1,1927 156,4072 156,4072 186,79711896 186,54686744 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-11 1,1998 1,1982 156,6542 156,6542 187,95370916 187,70306244 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-12 1,1983 1,1967 156,0869 156,0869 187,03893227 186,78919323 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-13 1,1908 1,1892 157,1002 157,1002 187,07491816 186,82355784 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-14 1,1838 1,1822 157,3169 157,3169 186,23174622 185,98003918 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-15 1,1823 1,1807 156,0089 156,0089 184,44932247 184,19970823 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-18 1,1808 1,1792 156,0974 156,0974 184,31980992 184,07005408 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-19 1,1768 1,1752 156,2611 156,2611 183,88806248 183,63804472 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-20 1,1768 1,1752 155,4312 155,4312 182,91143616 182,66274624 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-21 1,1863 1,1847 155,5829 155,5829 184,56799427 184,31906163 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-22 1,1868 1,1852 157,0255 157,0255 186,3578634 186,1066226 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-25 1,1863 1,1847 158,2132 158,2132 187,68831916 187,43517804 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-26 1,1913 1,1897 158,0093 158,0093 188,23647909 187,98366421 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-27 1,1978 1,1962 158,4555 158,4555 189,7979979 189,5444691 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-28 1,1928 1,1912 158,7758 158,7758 189,38777424 189,13373296 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-07-29 1,1883 1,1867 160,4822 160,4822 190,70099826 190,44422674 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-01 1,1963 1,1947 160,6887 160,6887 192,23189181 191,97478989 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-02 1,1983 1,1967 162,6891 162,6891 194,95034853 194,69004597 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-03 1,1933 1,1917 163,4317 163,4317 195,02304761 194,76155689 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-04 1,1933 1,1917 162,2523 162,2523 193,61566959 193,35606591 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-05 1,1873 1,1857 162,3566 162,3566 192,76599118 192,50622062 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-08 1,1783 1,1767 164,0726 164,0726 193,32674458 193,06422842 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-09 1,1818 1,1802 165,1434 165,1434 195,16647012 194,90224068 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-10 1,1843 1,1827 165,5561 165,5561 196,06808923 195,80319947 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-11 1,1828 1,1812 165,8768 165,8768 196,19907904 195,93367616 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-12 1,1793 1,1777 166,0284 166,0284 195,79729212 195,53164668 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-15 1,1768 1,1752 165,9011 165,9011 195,23241448 194,96697272 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-16 1,1653 1,1637 163,2235 163,2235 190,20434455 189,94318695 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-17 1,1773 1,1757 161,7852 161,7852 190,46971596 190,21085964 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-18 1,1773 1,1757 162,0081 162,0081 190,73213613 190,47292317 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-19 1,1748 1,1732 164,9563 164,9563 193,79066124 193,52673116 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-22 1,1728 1,1712 166,3139 166,3139 195,05294192 194,78683968 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-23 1,1708 1,1692 167,051 167,051 195,5833108 195,3160292 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-24 1,1743 1,1727 165,5381 165,5381 194,39139083 194,12652987 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-25 1,1768 1,1752 165,47 165,47 194,725096 194,460344 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-26 1,1773 1,1757 166,4424 166,4424 195,95263752 195,68632968 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-29 1,1798 1,1782 167,0805 167,0805 197,1215739 196,8542451 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-30 1,1793 1,1777 168,4281 168,4281 198,62725833 198,35777337 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-08-31 1,1848 1,1832 168,9925 168,9925 200,222314 199,951926 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-01 1,1888 1,1872 170,338 170,338 202,4978144 202,2252736 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-02 1,1948 1,1932 169,3718 169,3718 202,36542664 202,09443176 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-05 1,1903 1,1887 169,0142 169,0142 201,17760226 200,90717954 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-06 1,1898 1,1882 170,609 170,609 202,9905882 202,7176138 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-07 1,1938 1,1922 169,3934 169,3934 202,22184092 201,95081148 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-08 1,1988 1,1972 168,1755 168,1755 201,6087894 201,3397086 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-09 1,2008 1,1992 168,3307 168,3307 202,13150456 201,86217544 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-12 1,1953 1,1937 169,6268 169,6268 202,75491404 202,48351116 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-13 1,1938 1,1922 168,5159 168,5159 201,17428142 200,90465598 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-14 1,1953 1,1937 169,4845 169,4845 202,58482285 202,31364765 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-15 1,2003 1,1987 170,9303 170,9303 205,16763909 204,89415061 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-16 1,2008 1,1992 171,4615 171,4615 205,8909692 205,6166308 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-19 1,1973 1,1957 173,2712 173,2712 207,45760776 207,18037384 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-20 1,2018 1,2002 174,8798 174,8798 210,17054364 209,89073596 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-21 1,1988 1,1972 174,9063 174,9063 209,67767244 209,39782236 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-22 1,2018 1,2002 174,5487 174,5487 209,77262766 209,49334974 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-23 1,2043 1,2027 173,2652 173,2652 208,66328036 208,38605604 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-26 1,1993 1,1977 173,0627 173,0627 207,55409611 207,27719579 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-27 1,2003 1,1987 172,8661 172,8661 207,49117983 207,21459407 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-28 1,2013 1,1997 173,6646 173,6646 208,62328398 208,34542062 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-29 1,2023 1,2007 174,1287 174,1287 209,35493601 209,07633009 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-09-30 1,1918 1,1902 174,6236 174,6236 208,11640648 207,83700872 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-03 1,1798 1,1782 176,3316 176,3316 208,03602168 207,75389112 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-04 1,1838 1,1822 176,0598 176,0598 208,41959124 208,13789556 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-05 1,1788 1,1772 172,6345 172,6345 203,5015486 203,2253334 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-06 1,1798 1,1782 165,1705 165,1705 194,8681559 194,6038831 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-07 1,1828 1,1812 164,8072 164,8072 194,93395616 194,67026464 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-10 1,1808 1,1792 165,2223 165,2223 195,09449184 194,83013616 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-11 1,1898 1,1882 165,2117 165,2117 196,56888066 196,30454194 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-12 1,1918 1,1902 164,4134 164,4134 195,94789012 195,68482868 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-13 1,2023 1,2007 157,1891 157,1891 188,98845493 188,73695237 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-14 1,2028 1,2012 154,8976 154,8976 186,31083328 186,06299712 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-17 1,2118 1,2102 156,8124 156,8124 190,02526632 189,77436648 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-18 1,2118 1,2102 152,4151 152,4151 184,69661818 184,45275402 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-19 1,2103 1,2087 146,2078 146,2078 176,95530034 176,72136786 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-20 1,2173 1,2157 152,0679 152,0679 185,11225467 184,86894603 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-21 1,2183 1,2167 151,0043 151,0043 183,96853869 183,72693181 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-24 1,2243 1,2227 155,7326 155,7326 190,66342218 190,41425002 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-25 1,2203 1,2187 156,7811 156,7811 191,31997633 191,06912657 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-26 1,2148 1,2132 158,5069 158,5069 192,55418212 192,30057108 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-27 1,2228 1,2212 156,2785 156,2785 191,0973498 190,8473042 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-28 1,2188 1,2172 155,5543 155,5543 189,58958084 189,34069396 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-10-31 1,2233 1,2217 159,8486 159,8486 195,54279238 195,28703462 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-01 1,2273 1,2257 158,0194 158,0194 193,93720962 193,68437858 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-02 1,2338 1,2322 158,6999 158,6999 195,80393662 195,55001678 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-03 1,2398 1,2382 163,5221 163,5221 202,73469958 202,47306422 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-04 1,2308 1,2292 163,494 163,494 201,2284152 200,9668248 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-07 1,2348 1,2332 164,1484 164,1484 202,69044432 202,42780688 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-08 1,2298 1,2282 162,1985 162,1985 199,4717153 199,2121977 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-09 1,2278 1,2262 162,9524 162,9524 200,07295672 199,81223288 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-10 1,2428 1,2412 162,61 162,61 202,091708 201,831532 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-11 1,2453 1,2437 162,1404 162,1404 201,91344012 201,65401548 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-14 1,2323 1,2307 162,97 162,97 200,827931 200,567179 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-15 1,2293 1,2277 162,2456 162,2456 199,44851608 199,18892312 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-16 1,2298 1,2282 160,1787 160,1787 196,98776526 196,73147934 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-17 1,2318 1,2302 163,4225 163,4225 201,3038355 201,0423595 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-18 1,2233 1,2217 163,5434 163,5434 200,06264122 199,80097178 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-21 1,2168 1,2152 164,4734 164,4734 200,13123312 199,86807568 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-22 1,2143 1,2127 166,0367 166,0367 201,61836481 201,35270609 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-23 1,2093 1,2077 166,144 166,144 200,9179392 200,6521088 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-24 1,2083 1,2067 165,0753 165,0753 199,46048499 199,19636451 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-25 1,2028 1,2012 167,1539 167,1539 201,05271092 200,78526468 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-28 1,2068 1,2052 167,4134 167,4134 202,03449112 201,76662968 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-29 1,1968 1,1952 167,4816 167,4816 200,44197888 200,17400832 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-11-30 1,1983 1,1967 168,3446 168,3446 201,72733418 201,45798282 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-01 1,1963 1,1947 170,1715 170,1715 203,57616545 203,30389105 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-02 1,1993 1,1977 172,1643 172,1643 206,47664499 206,20118211 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-05 1,1908 1,1892 172,2035 172,2035 205,0599278 204,7844022 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-06 1,1948 1,1932 172,9243 172,9243 206,60995364 206,33327476 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-07 1,1833 1,1817 174,9422 174,9422 207,00910526 206,72919774 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-08 1,1848 1,1832 174,9188 174,9188 207,24379424 206,96392416 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-12 1,1888 1,1872 175,8957 175,8957 209,10480816 208,82337504 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-13 1,1853 1,1837 178,1131 178,1131 211,11745743 210,83247647 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-14 1,1888 1,1872 178,2079 178,2079 211,85355152 211,56841888 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-15 1,1868 1,1852 176,9075 176,9075 209,953821 209,670769 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-16 1,1943 1,1927 174,6086 174,6086 208,53505098 208,25567722 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-19 1,1818 1,1802 172,8786 172,8786 204,30792948 204,03132372 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-20 1,1728 1,1712 174,5191 174,5191 204,67600048 204,39676992 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-21 1,1728 1,1712 176,1123 176,1123 206,54450544 206,26272576 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-22 1,1778 1,1762 176,8935 176,8935 208,3451643 208,0621347 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-23 1,1738 1,1722 177,1469 177,1469 207,93503122 207,65159618 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-27 1,1833 1,1817 177,5217 177,5217 210,06142761 209,77739289 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-28 1,1763 1,1747 177,8939 177,8939 209,25659457 208,97196433 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-29 1,1718 1,1702 178,7216 178,7216 209,42597088 209,14001632 373183 ABN AMRO Kapitalforvaltning AS Banco Norge NOK 2005-12-30 1,1768 1,1752 178,6716 178,6716 210,26073888 209,97486432 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-03 1 1 52,01 52,01 52,01 52,01 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-04 1 1 52,13 52,13 52,13 52,13 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-05 1 1 51,92 51,92 51,92 51,92 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-07 1 1 52,12 52,12 52,12 52,12 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-10 1 1 52,53 52,53 52,53 52,53 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-11 1 1 52,2 52,2 52,2 52,2 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-12 1 1 51,63 51,63 51,63 51,63 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-13 1 1 51,53 51,53 51,53 51,53 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-14 1 1 51,85 51,85 51,85 51,85 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-17 1 1 52,18 52,18 52,18 52,18 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-18 1 1 51,96 51,96 51,96 51,96 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-19 1 1 52,21 52,21 52,21 52,21 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-20 1 1 51,74 51,74 51,74 51,74 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-21 1 1 51,68 51,68 51,68 51,68 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-24 1 1 51,18 51,18 51,18 51,18 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-25 1 1 51,61 51,61 51,61 51,61 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-26 1 1 51,84 51,84 51,84 51,84 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-27 1 1 51,74 51,74 51,74 51,74 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-28 1 1 51,84 51,84 51,84 51,84 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-01-31 1 1 52,18 52,18 52,18 52,18 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-01 1 1 52,27 52,27 52,27 52,27 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-02 1 1 52,52 52,52 52,52 52,52 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-03 1 1 52,42 52,42 52,42 52,42 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-04 1 1 52,81 52,81 52,81 52,81 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-07 1 1 53,45 53,45 53,45 53,45 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-08 1 1 53,61 53,61 53,61 53,61 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-09 1 1 53,7 53,7 53,7 53,7 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-10 1 1 53,24 53,24 53,24 53,24 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-11 1 1 53,42 53,42 53,42 53,42 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-14 1 1 53,68 53,68 53,68 53,68 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-15 1 1 53,79 53,79 53,79 53,79 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-16 1 1 53,31 53,31 53,31 53,31 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-17 1 1 53,57 53,57 53,57 53,57 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-18 1 1 53,19 53,19 53,19 53,19 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-21 1 1 53,42 53,42 53,42 53,42 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-22 1 1 52,85 52,85 52,85 52,85 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-23 1 1 52,76 52,76 52,76 52,76 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-24 1 1 52,7 52,7 52,7 52,7 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-25 1 1 53,14 53,14 53,14 53,14 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-02-28 1 1 53,33 53,33 53,33 53,33 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-01 1 1 53,48 53,48 53,48 53,48 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-02 1 1 53,57 53,57 53,57 53,57 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-03 1 1 53,92 53,92 53,92 53,92 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-04 1 1 54,07 54,07 54,07 54,07 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-07 1 1 53,93 53,93 53,93 53,93 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-08 1 1 53,73 53,73 53,73 53,73 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-09 1 1 53,32 53,32 53,32 53,32 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-10 1 1 53,15 53,15 53,15 53,15 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-11 1 1 53,4 53,4 53,4 53,4 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-14 1 1 53,03 53,03 53,03 53,03 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-15 1 1 53,64 53,64 53,64 53,64 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-16 1 1 53,01 53,01 53,01 53,01 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-17 1 1 52,78 52,78 52,78 52,78 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-18 1 1 52,9 52,9 52,9 52,9 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-21 1 1 52,99 52,99 52,99 52,99 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-22 1 1 53,09 53,09 53,09 53,09 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-23 1 1 52,82 52,82 52,82 52,82 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-24 1 1 53,31 53,31 53,31 53,31 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-29 1 1 53,39 53,39 53,39 53,39 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-30 1 1 53,1 53,1 53,1 53,1 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-03-31 1 1 53,57 53,57 53,57 53,57 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-01 1 1 53,77 53,77 53,77 53,77 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-04 1 1 53,51 53,51 53,51 53,51 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-05 1 1 54,15 54,15 54,15 54,15 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-06 1 1 54,34 54,34 54,34 54,34 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-07 1 1 54,31 54,31 54,31 54,31 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-08 1 1 54,83 54,83 54,83 54,83 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-11 1 1 54,65 54,65 54,65 54,65 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-12 1 1 54,33 54,33 54,33 54,33 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-13 1 1 54,81 54,81 54,81 54,81 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-14 1 1 54,98 54,98 54,98 54,98 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-15 1 1 54,43 54,43 54,43 54,43 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-18 1 1 53,38 53,38 53,38 53,38 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-19 1 1 53,71 53,71 53,71 53,71 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-20 1 1 53,58 53,58 53,58 53,58 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-21 1 1 53,61 53,61 53,61 53,61 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-22 1 1 54,02 54,02 54,02 54,02 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-25 1 1 53,93 53,93 53,93 53,93 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-26 1 1 53,67 53,67 53,67 53,67 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-27 1 1 52,99 52,99 52,99 52,99 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-28 1 1 52,74 52,74 52,74 52,74 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-04-29 1 1 53,14 53,14 53,14 53,14 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-02 1 1 53,7 53,7 53,7 53,7 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-03 1 1 53,78 53,78 53,78 53,78 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-04 1 1 53,7 53,7 53,7 53,7 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-06 1 1 54,25 54,25 54,25 54,25 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-09 1 1 54,44 54,44 54,44 54,44 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-10 1 1 54,17 54,17 54,17 54,17 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-11 1 1 54,11 54,11 54,11 54,11 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-12 1 1 54,56 54,56 54,56 54,56 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-13 1 1 53,53 53,53 53,53 53,53 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-16 1 1 53,75 53,75 53,75 53,75 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-17 1 1 54,02 54,02 54,02 54,02 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-18 1 1 54,42 54,42 54,42 54,42 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-19 1 1 54,58 54,58 54,58 54,58 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-20 1 1 54,64 54,64 54,64 54,64 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-23 1 1 54,83 54,83 54,83 54,83 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-24 1 1 54,91 54,91 54,91 54,91 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-25 1 1 54,86 54,86 54,86 54,86 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-26 1 1 55,14 55,14 55,14 55,14 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-27 1 1 55,34 55,34 55,34 55,34 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-30 1 1 55,43 55,43 55,43 55,43 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-05-31 1 1 55,57 55,57 55,57 55,57 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-01 1 1 55,65 55,65 55,65 55,65 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-02 1 1 55,92 55,92 55,92 55,92 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-03 1 1 55,83 55,83 55,83 55,83 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-07 1 1 56,08 56,08 56,08 56,08 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-08 1 1 56,21 56,21 56,21 56,21 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-09 1 1 56,26 56,26 56,26 56,26 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-10 1 1 56,53 56,53 56,53 56,53 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-13 1 1 56,74 56,74 56,74 56,74 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-14 1 1 57,22 57,22 57,22 57,22 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-15 1 1 57,29 57,29 57,29 57,29 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-16 1 1 57,21 57,21 57,21 57,21 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-17 1 1 57,58 57,58 57,58 57,58 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-20 1 1 57,18 57,18 57,18 57,18 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-21 1 1 57,58 57,58 57,58 57,58 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-22 1 1 57,77 57,77 57,77 57,77 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-23 1 1 58,33 58,33 58,33 58,33 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-27 1 1 57,51 57,51 57,51 57,51 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-28 1 1 57,84 57,84 57,84 57,84 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-29 1 1 58,41 58,41 58,41 58,41 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-06-30 1 1 58,53 58,53 58,53 58,53 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-01 1 1 58,6 58,6 58,6 58,6 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-04 1 1 59,05 59,05 59,05 59,05 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-05 1 1 58,95 58,95 58,95 58,95 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-06 1 1 59,16 59,16 59,16 59,16 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-07 1 1 58,03 58,03 58,03 58,03 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-08 1 1 58,84 58,84 58,84 58,84 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-11 1 1 59,62 59,62 59,62 59,62 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-12 1 1 59,47 59,47 59,47 59,47 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-13 1 1 59,37 59,37 59,37 59,37 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-14 1 1 59,65 59,65 59,65 59,65 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-15 1 1 59,52 59,52 59,52 59,52 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-18 1 1 59,47 59,47 59,47 59,47 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-19 1 1 59,86 59,86 59,86 59,86 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-20 1 1 59,65 59,65 59,65 59,65 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-21 1 1 59,89 59,89 59,89 59,89 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-22 1 1 59,85 59,85 59,85 59,85 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-25 1 1 59,94 59,94 59,94 59,94 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-26 1 1 60,06 60,06 60,06 60,06 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-27 1 1 60,45 60,45 60,45 60,45 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-28 1 1 60,64 60,64 60,64 60,64 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-07-29 1 1 60,44 60,44 60,44 60,44 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-01 1 1 60,27 60,27 60,27 60,27 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-02 1 1 60,43 60,43 60,43 60,43 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-03 1 1 60,39 60,39 60,39 60,39 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-04 1 1 59,96 59,96 59,96 59,96 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-05 1 1 59,56 59,56 59,56 59,56 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-08 1 1 59,5 59,5 59,5 59,5 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-09 1 1 59,54 59,54 59,54 59,54 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-10 1 1 60,28 60,28 60,28 60,28 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-11 1 1 59,96 59,96 59,96 59,96 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-12 1 1 59,63 59,63 59,63 59,63 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-15 1 1 59,73 59,73 59,73 59,73 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-16 1 1 59,86 59,86 59,86 59,86 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-17 1 1 59,74 59,74 59,74 59,74 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-18 1 1 59,75 59,75 59,75 59,75 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-19 1 1 60,32 60,32 60,32 60,32 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-22 1 1 60,53 60,53 60,53 60,53 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-23 1 1 60,06 60,06 60,06 60,06 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-24 1 1 59,39 59,39 59,39 59,39 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-25 1 1 58,78 58,78 58,78 58,78 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-26 1 1 58,49 58,49 58,49 58,49 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-29 1 1 58,39 58,39 58,39 58,39 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-30 1 1 58,8 58,8 58,8 58,8 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-08-31 1 1 59,1 59,1 59,1 59,1 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-01 1 1 59,35 59,35 59,35 59,35 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-02 1 1 58,9 58,9 58,9 58,9 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-05 1 1 59,04 59,04 59,04 59,04 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-06 1 1 59,59 59,59 59,59 59,59 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-07 1 1 59,67 59,67 59,67 59,67 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-08 1 1 59,78 59,78 59,78 59,78 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-09 1 1 60,14 60,14 60,14 60,14 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-12 1 1 60,49 60,49 60,49 60,49 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-13 1 1 60,25 60,25 60,25 60,25 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-14 1 1 60,52 60,52 60,52 60,52 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-15 1 1 60,64 60,64 60,64 60,64 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-16 1 1 60,68 60,68 60,68 60,68 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-19 1 1 61,06 61,06 61,06 61,06 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-20 1 1 60,99 60,99 60,99 60,99 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-21 1 1 60,44 60,44 60,44 60,44 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-22 1 1 60,17 60,17 60,17 60,17 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-23 1 1 60,52 60,52 60,52 60,52 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-26 1 1 61,33 61,33 61,33 61,33 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-27 1 1 61,44 61,44 61,44 61,44 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-28 1 1 61,71 61,71 61,71 61,71 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-29 1 1 61,59 61,59 61,59 61,59 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-09-30 1 1 61,85 61,85 61,85 61,85 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-03 1 1 62,09 62,09 62,09 62,09 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-04 1 1 62,21 62,21 62,21 62,21 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-05 1 1 61,77 61,77 61,77 61,77 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-06 1 1 60,74 60,74 60,74 60,74 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-07 1 1 60,67 60,67 60,67 60,67 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-10 1 1 60,79 60,79 60,79 60,79 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-11 1 1 61,13 61,13 61,13 61,13 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-12 1 1 60,82 60,82 60,82 60,82 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-13 1 1 60,13 60,13 60,13 60,13 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-14 1 1 60,36 60,36 60,36 60,36 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-17 1 1 60,48 60,48 60,48 60,48 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-18 1 1 60,27 60,27 60,27 60,27 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-19 1 1 59,66 59,66 59,66 59,66 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-20 1 1 60,12 60,12 60,12 60,12 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-21 1 1 59,48 59,48 59,48 59,48 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-24 1 1 60,33 60,33 60,33 60,33 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-25 1 1 60,75 60,75 60,75 60,75 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-26 1 1 60,47 60,47 60,47 60,47 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-27 1 1 60,17 60,17 60,17 60,17 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-28 1 1 59,82 59,82 59,82 59,82 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-10-31 1 1 61,24 61,24 61,24 61,24 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-01 1 1 61,59 61,59 61,59 61,59 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-02 1 1 61,74 61,74 61,74 61,74 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-03 1 1 62,74 62,74 62,74 62,74 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-04 1 1 62,71 62,71 62,71 62,71 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-07 1 1 63,15 63,15 63,15 63,15 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-08 1 1 62,97 62,97 62,97 62,97 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-09 1 1 62,83 62,83 62,83 62,83 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-10 1 1 63,26 63,26 63,26 63,26 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-11 1 1 63,88 63,88 63,88 63,88 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-14 1 1 63,75 63,75 63,75 63,75 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-15 1 1 63,62 63,62 63,62 63,62 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-16 1 1 63,75 63,75 63,75 63,75 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-17 1 1 64,18 64,18 64,18 64,18 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-18 1 1 64,48 64,48 64,48 64,48 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-21 1 1 64,12 64,12 64,12 64,12 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-22 1 1 64,35 64,35 64,35 64,35 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-23 1 1 64,18 64,18 64,18 64,18 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-24 1 1 64,08 64,08 64,08 64,08 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-25 1 1 64,33 64,33 64,33 64,33 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-28 1 1 64,42 64,42 64,42 64,42 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-29 1 1 64,04 64,04 64,04 64,04 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-11-30 1 1 63,95 63,95 63,95 63,95 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-01 1 1 64,48 64,48 64,48 64,48 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-02 1 1 65,04 65,04 65,04 65,04 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-05 1 1 64,8 64,8 64,8 64,8 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-06 1 1 64,89 64,89 64,89 64,89 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-07 1 1 65,04 65,04 65,04 65,04 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-08 1 1 64,75 64,75 64,75 64,75 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-12 1 1 65,14 65,14 65,14 65,14 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-13 1 1 64,89 64,89 64,89 64,89 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-14 1 1 64,71 64,71 64,71 64,71 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-15 1 1 64,68 64,68 64,68 64,68 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-16 1 1 65,03 65,03 65,03 65,03 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-19 1 1 64,35 64,35 64,35 64,35 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-20 1 1 64,77 64,77 64,77 64,77 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-21 1 1 65,54 65,54 65,54 65,54 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-22 1 1 65,64 65,64 65,64 65,64 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-23 1 1 66 66 66 66 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-27 1 1 66,42 66,42 66,42 66,42 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-28 1 1 65,93 65,93 65,93 65,93 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-29 1 1 66,09 66,09 66,09 66,09 728535 Banco Fonder AB Banco Offensiv Pension SEK 2005-12-30 1 1 65,85 65,85 65,85 65,85 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-03 1 1 58,61 58,61 58,61 58,61 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-04 1 1 58,77 58,77 58,77 58,77 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-05 1 1 58,27 58,27 58,27 58,27 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-07 1 1 58,38 58,38 58,38 58,38 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-10 1 1 59,03 59,03 59,03 59,03 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-11 1 1 58,73 58,73 58,73 58,73 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-12 1 1 57,69 57,69 57,69 57,69 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-13 1 1 57,73 57,73 57,73 57,73 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-14 1 1 58 58 58 58 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-17 1 1 58,35 58,35 58,35 58,35 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-18 1 1 57,95 57,95 57,95 57,95 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-19 1 1 58,4 58,4 58,4 58,4 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-20 1 1 57,76 57,76 57,76 57,76 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-21 1 1 57,6 57,6 57,6 57,6 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-24 1 1 56,93 56,93 56,93 56,93 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-25 1 1 57,6 57,6 57,6 57,6 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-26 1 1 57,68 57,68 57,68 57,68 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-27 1 1 57,83 57,83 57,83 57,83 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-28 1 1 57,66 57,66 57,66 57,66 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-01-31 1 1 58,08 58,08 58,08 58,08 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-01 1 1 58,24 58,24 58,24 58,24 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-02 1 1 58,75 58,75 58,75 58,75 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-03 1 1 58,62 58,62 58,62 58,62 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-04 1 1 59,01 59,01 59,01 59,01 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-07 1 1 59,56 59,56 59,56 59,56 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-08 1 1 59,65 59,65 59,65 59,65 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-09 1 1 59,78 59,78 59,78 59,78 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-10 1 1 59,19 59,19 59,19 59,19 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-11 1 1 59,63 59,63 59,63 59,63 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-14 1 1 59,91 59,91 59,91 59,91 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-15 1 1 60,29 60,29 60,29 60,29 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-16 1 1 59,54 59,54 59,54 59,54 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-17 1 1 60,02 60,02 60,02 60,02 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-18 1 1 59,48 59,48 59,48 59,48 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-21 1 1 59,72 59,72 59,72 59,72 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-22 1 1 59,19 59,19 59,19 59,19 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-23 1 1 59,42 59,42 59,42 59,42 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-24 1 1 59,66 59,66 59,66 59,66 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-25 1 1 59,98 59,98 59,98 59,98 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-02-28 1 1 60,29 60,29 60,29 60,29 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-01 1 1 60,28 60,28 60,28 60,28 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-02 1 1 60,37 60,37 60,37 60,37 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-03 1 1 60,8 60,8 60,8 60,8 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-04 1 1 61,01 61,01 61,01 61,01 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-07 1 1 60,9 60,9 60,9 60,9 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-08 1 1 60,75 60,75 60,75 60,75 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-09 1 1 60,48 60,48 60,48 60,48 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-10 1 1 60,21 60,21 60,21 60,21 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-11 1 1 60,57 60,57 60,57 60,57 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-14 1 1 60,33 60,33 60,33 60,33 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-15 1 1 60,9 60,9 60,9 60,9 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-16 1 1 60,17 60,17 60,17 60,17 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-17 1 1 59,93 59,93 59,93 59,93 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-18 1 1 59,94 59,94 59,94 59,94 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-21 1 1 59,8 59,8 59,8 59,8 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-22 1 1 60,02 60,02 60,02 60,02 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-23 1 1 59,76 59,76 59,76 59,76 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-24 1 1 60,31 60,31 60,31 60,31 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-29 1 1 60,29 60,29 60,29 60,29 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-30 1 1 59,88 59,88 59,88 59,88 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-03-31 1 1 60,34 60,34 60,34 60,34 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-01 1 1 60,64 60,64 60,64 60,64 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-04 1 1 60,44 60,44 60,44 60,44 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-05 1 1 61,04 61,04 61,04 61,04 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-06 1 1 61,53 61,53 61,53 61,53 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-07 1 1 61,64 61,64 61,64 61,64 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-08 1 1 62,06 62,06 62,06 62,06 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-11 1 1 62,13 62,13 62,13 62,13 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-12 1 1 61,96 61,96 61,96 61,96 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-13 1 1 62,52 62,52 62,52 62,52 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-14 1 1 62,97 62,97 62,97 62,97 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-15 1 1 62,1 62,1 62,1 62,1 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-18 1 1 61,07 61,07 61,07 61,07 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-19 1 1 61,46 61,46 61,46 61,46 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-20 1 1 61,51 61,51 61,51 61,51 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-21 1 1 61,55 61,55 61,55 61,55 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-22 1 1 62,11 62,11 62,11 62,11 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-25 1 1 61,84 61,84 61,84 61,84 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-26 1 1 61,44 61,44 61,44 61,44 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-27 1 1 60,3 60,3 60,3 60,3 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-28 1 1 59,65 59,65 59,65 59,65 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-04-29 1 1 60,21 60,21 60,21 60,21 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-02 1 1 60,61 60,61 60,61 60,61 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-03 1 1 60,61 60,61 60,61 60,61 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-04 1 1 60,72 60,72 60,72 60,72 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-06 1 1 61,39 61,39 61,39 61,39 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-09 1 1 61,48 61,48 61,48 61,48 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-10 1 1 61,05 61,05 61,05 61,05 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-11 1 1 61,02 61,02 61,02 61,02 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-12 1 1 61,32 61,32 61,32 61,32 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-13 1 1 60,18 60,18 60,18 60,18 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-16 1 1 60,3 60,3 60,3 60,3 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-17 1 1 60,58 60,58 60,58 60,58 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-18 1 1 61,08 61,08 61,08 61,08 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-19 1 1 61,24 61,24 61,24 61,24 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-20 1 1 61,16 61,16 61,16 61,16 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-23 1 1 61,24 61,24 61,24 61,24 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-24 1 1 61,35 61,35 61,35 61,35 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-25 1 1 61,45 61,45 61,45 61,45 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-26 1 1 61,72 61,72 61,72 61,72 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-27 1 1 61,87 61,87 61,87 61,87 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-30 1 1 61,96 61,96 61,96 61,96 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-05-31 1 1 62,1 62,1 62,1 62,1 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-01 1 1 62,08 62,08 62,08 62,08 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-02 1 1 61,96 61,96 61,96 61,96 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-03 1 1 61,84 61,84 61,84 61,84 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-07 1 1 62,11 62,11 62,11 62,11 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-08 1 1 62,51 62,51 62,51 62,51 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-09 1 1 62,35 62,35 62,35 62,35 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-10 1 1 62,63 62,63 62,63 62,63 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-13 1 1 62,64 62,64 62,64 62,64 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-14 1 1 63,16 63,16 63,16 63,16 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-15 1 1 63,11 63,11 63,11 63,11 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-16 1 1 63 63 63 63 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-17 1 1 63,43 63,43 63,43 63,43 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-20 1 1 63,35 63,35 63,35 63,35 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-21 1 1 63,52 63,52 63,52 63,52 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-22 1 1 63,82 63,82 63,82 63,82 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-23 1 1 64,17 64,17 64,17 64,17 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-27 1 1 63,19 63,19 63,19 63,19 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-28 1 1 63,49 63,49 63,49 63,49 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-29 1 1 63,93 63,93 63,93 63,93 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-06-30 1 1 64,17 64,17 64,17 64,17 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-01 1 1 64,35 64,35 64,35 64,35 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-04 1 1 64,65 64,65 64,65 64,65 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-05 1 1 64,59 64,59 64,59 64,59 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-06 1 1 64,87 64,87 64,87 64,87 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-07 1 1 63,53 63,53 63,53 63,53 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-08 1 1 64,5 64,5 64,5 64,5 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-11 1 1 65,47 65,47 65,47 65,47 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-12 1 1 65,55 65,55 65,55 65,55 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-13 1 1 65,79 65,79 65,79 65,79 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-14 1 1 65,83 65,83 65,83 65,83 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-15 1 1 65,68 65,68 65,68 65,68 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-18 1 1 65,67 65,67 65,67 65,67 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-19 1 1 65,82 65,82 65,82 65,82 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-20 1 1 65,61 65,61 65,61 65,61 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-21 1 1 66 66 66 66 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-22 1 1 66,19 66,19 66,19 66,19 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-25 1 1 65,89 65,89 65,89 65,89 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-26 1 1 66,18 66,18 66,18 66,18 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-27 1 1 66,43 66,43 66,43 66,43 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-28 1 1 66,88 66,88 66,88 66,88 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-07-29 1 1 66,95 66,95 66,95 66,95 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-01 1 1 66,93 66,93 66,93 66,93 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-02 1 1 67,29 67,29 67,29 67,29 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-03 1 1 67,19 67,19 67,19 67,19 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-04 1 1 66,87 66,87 66,87 66,87 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-05 1 1 66,77 66,77 66,77 66,77 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-08 1 1 66,71 66,71 66,71 66,71 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-09 1 1 66,7 66,7 66,7 66,7 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-10 1 1 67,55 67,55 67,55 67,55 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-11 1 1 67,1 67,1 67,1 67,1 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-12 1 1 66,84 66,84 66,84 66,84 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-15 1 1 66,7 66,7 66,7 66,7 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-16 1 1 66,87 66,87 66,87 66,87 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-17 1 1 66,58 66,58 66,58 66,58 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-18 1 1 66,65 66,65 66,65 66,65 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-19 1 1 67,13 67,13 67,13 67,13 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-22 1 1 67,19 67,19 67,19 67,19 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-23 1 1 66,7 66,7 66,7 66,7 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-24 1 1 65,69 65,69 65,69 65,69 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-25 1 1 65,23 65,23 65,23 65,23 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-26 1 1 64,73 64,73 64,73 64,73 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-29 1 1 64,77 64,77 64,77 64,77 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-30 1 1 65,16 65,16 65,16 65,16 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-08-31 1 1 65,57 65,57 65,57 65,57 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-01 1 1 66,06 66,06 66,06 66,06 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-02 1 1 65,8 65,8 65,8 65,8 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-05 1 1 66,24 66,24 66,24 66,24 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-06 1 1 66,67 66,67 66,67 66,67 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-07 1 1 66,89 66,89 66,89 66,89 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-08 1 1 66,66 66,66 66,66 66,66 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-09 1 1 66,99 66,99 66,99 66,99 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-12 1 1 67,27 67,27 67,27 67,27 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-13 1 1 67,12 67,12 67,12 67,12 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-14 1 1 67,5 67,5 67,5 67,5 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-15 1 1 67,29 67,29 67,29 67,29 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-16 1 1 67,43 67,43 67,43 67,43 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-19 1 1 67,68 67,68 67,68 67,68 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-20 1 1 67,49 67,49 67,49 67,49 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-21 1 1 67,17 67,17 67,17 67,17 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-22 1 1 67,09 67,09 67,09 67,09 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-23 1 1 67,34 67,34 67,34 67,34 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-26 1 1 68,08 68,08 68,08 68,08 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-27 1 1 68,41 68,41 68,41 68,41 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-28 1 1 68,64 68,64 68,64 68,64 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-29 1 1 68,75 68,75 68,75 68,75 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-09-30 1 1 69,17 69,17 69,17 69,17 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-03 1 1 69,49 69,49 69,49 69,49 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-04 1 1 69,56 69,56 69,56 69,56 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-05 1 1 69,16 69,16 69,16 69,16 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-06 1 1 68,48 68,48 68,48 68,48 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-07 1 1 68,37 68,37 68,37 68,37 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-10 1 1 68,64 68,64 68,64 68,64 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-11 1 1 68,76 68,76 68,76 68,76 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-12 1 1 68,23 68,23 68,23 68,23 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-13 1 1 67,22 67,22 67,22 67,22 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-14 1 1 67,31 67,31 67,31 67,31 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-17 1 1 67,27 67,27 67,27 67,27 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-18 1 1 66,93 66,93 66,93 66,93 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-19 1 1 66,03 66,03 66,03 66,03 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-20 1 1 66,36 66,36 66,36 66,36 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-21 1 1 65,67 65,67 65,67 65,67 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-24 1 1 66,43 66,43 66,43 66,43 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-25 1 1 67,02 67,02 67,02 67,02 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-26 1 1 67,19 67,19 67,19 67,19 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-27 1 1 66,74 66,74 66,74 66,74 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-28 1 1 66,39 66,39 66,39 66,39 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-10-31 1 1 67,92 67,92 67,92 67,92 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-01 1 1 68,22 68,22 68,22 68,22 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-02 1 1 68,4 68,4 68,4 68,4 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-03 1 1 69,22 69,22 69,22 69,22 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-04 1 1 69,11 69,11 69,11 69,11 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-07 1 1 69,56 69,56 69,56 69,56 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-08 1 1 69,38 69,38 69,38 69,38 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-09 1 1 69,43 69,43 69,43 69,43 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-10 1 1 69,7 69,7 69,7 69,7 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-11 1 1 70,16 70,16 70,16 70,16 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-14 1 1 70,62 70,62 70,62 70,62 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-15 1 1 70,31 70,31 70,31 70,31 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-16 1 1 70,35 70,35 70,35 70,35 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-17 1 1 70,64 70,64 70,64 70,64 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-18 1 1 70,89 70,89 70,89 70,89 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-21 1 1 70,83 70,83 70,83 70,83 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-22 1 1 71,04 71,04 71,04 71,04 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-23 1 1 71,06 71,06 71,06 71,06 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-24 1 1 70,83 70,83 70,83 70,83 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-25 1 1 71,09 71,09 71,09 71,09 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-28 1 1 71,28 71,28 71,28 71,28 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-29 1 1 71,07 71,07 71,07 71,07 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-11-30 1 1 70,59 70,59 70,59 70,59 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-01 1 1 71,33 71,33 71,33 71,33 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-02 1 1 72,04 72,04 72,04 72,04 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-05 1 1 72,04 72,04 72,04 72,04 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-06 1 1 72,29 72,29 72,29 72,29 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-07 1 1 72,34 72,34 72,34 72,34 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-08 1 1 72,47 72,47 72,47 72,47 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-12 1 1 72,83 72,83 72,83 72,83 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-13 1 1 72,6 72,6 72,6 72,6 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-14 1 1 72,32 72,32 72,32 72,32 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-15 1 1 72,32 72,32 72,32 72,32 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-16 1 1 72,52 72,52 72,52 72,52 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-19 1 1 72,78 72,78 72,78 72,78 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-20 1 1 72,74 72,74 72,74 72,74 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-21 1 1 73,22 73,22 73,22 73,22 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-22 1 1 73,35 73,35 73,35 73,35 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-23 1 1 74,07 74,07 74,07 74,07 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-27 1 1 74,44 74,44 74,44 74,44 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-28 1 1 74,27 74,27 74,27 74,27 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-29 1 1 74,53 74,53 74,53 74,53 121848 Banco Fonder AB Banco Samarit Pension SEK 2005-12-30 1 1 74,24 74,24 74,24 74,24 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-03 1 1 21,98 21,98 21,98 21,98 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-04 1 1 21,98 21,98 21,98 21,98 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-05 1 1 21,81 21,81 21,81 21,81 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-07 1 1 21,79 21,79 21,79 21,79 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-10 1 1 22,15 22,15 22,15 22,15 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-11 1 1 22,25 22,25 22,25 22,25 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-12 1 1 22,16 22,16 22,16 22,16 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-13 1 1 22 22 22 22 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-14 1 1 22,03 22,03 22,03 22,03 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-17 1 1 22,16 22,16 22,16 22,16 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-18 1 1 22,13 22,13 22,13 22,13 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-19 1 1 22,33 22,33 22,33 22,33 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-20 1 1 22,11 22,11 22,11 22,11 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-21 1 1 22,16 22,16 22,16 22,16 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-24 1 1 21,98 21,98 21,98 21,98 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-25 1 1 22,1 22,1 22,1 22,1 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-26 1 1 22,33 22,33 22,33 22,33 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-27 1 1 22,6 22,6 22,6 22,6 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-28 1 1 22,53 22,53 22,53 22,53 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-01-31 1 1 22,53 22,53 22,53 22,53 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-01 1 1 22,72 22,72 22,72 22,72 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-02 1 1 22,87 22,87 22,87 22,87 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-03 1 1 22,89 22,89 22,89 22,89 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-04 1 1 22,95 22,95 22,95 22,95 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-07 1 1 23,06 23,06 23,06 23,06 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-08 1 1 23,01 23,01 23,01 23,01 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-09 1 1 23,4 23,4 23,4 23,4 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-10 1 1 23,32 23,32 23,32 23,32 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-11 1 1 23,36 23,36 23,36 23,36 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-14 1 1 23,27 23,27 23,27 23,27 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-15 1 1 23,23 23,23 23,23 23,23 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-16 1 1 23,1 23,1 23,1 23,1 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-17 1 1 23,19 23,19 23,19 23,19 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-18 1 1 23 23 23 23 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-21 1 1 23,03 23,03 23,03 23,03 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-22 1 1 22,9 22,9 22,9 22,9 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-23 1 1 22,72 22,72 22,72 22,72 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-24 1 1 22,85 22,85 22,85 22,85 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-25 1 1 22,95 22,95 22,95 22,95 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-02-28 1 1 23,3 23,3 23,3 23,3 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-01 1 1 23,17 23,17 23,17 23,17 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-02 1 1 23,36 23,36 23,36 23,36 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-03 1 1 23,75 23,75 23,75 23,75 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-04 1 1 24 24 24 24 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-07 1 1 24,06 24,06 24,06 24,06 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-08 1 1 24,13 24,13 24,13 24,13 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-09 1 1 23,97 23,97 23,97 23,97 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-10 1 1 23,7 23,7 23,7 23,7 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-11 1 1 23,85 23,85 23,85 23,85 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-14 1 1 23,66 23,66 23,66 23,66 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-15 1 1 23,67 23,67 23,67 23,67 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-16 1 1 23,74 23,74 23,74 23,74 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-17 1 1 23,72 23,72 23,72 23,72 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-18 1 1 23,89 23,89 23,89 23,89 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-21 1 1 23,96 23,96 23,96 23,96 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-22 1 1 24 24 24 24 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-23 1 1 23,91 23,91 23,91 23,91 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-24 1 1 23,92 23,92 23,92 23,92 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-29 1 1 23,81 23,81 23,81 23,81 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-30 1 1 23,71 23,71 23,71 23,71 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-03-31 1 1 24,07 24,07 24,07 24,07 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-01 1 1 24,2 24,2 24,2 24,2 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-04 1 1 24,07 24,07 24,07 24,07 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-05 1 1 24,24 24,24 24,24 24,24 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-06 1 1 24,44 24,44 24,44 24,44 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-07 1 1 24,52 24,52 24,52 24,52 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-08 1 1 24,66 24,66 24,66 24,66 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-11 1 1 24,54 24,54 24,54 24,54 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-12 1 1 24,65 24,65 24,65 24,65 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-13 1 1 25,11 25,11 25,11 25,11 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-14 1 1 25,16 25,16 25,16 25,16 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-15 1 1 24,7 24,7 24,7 24,7 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-18 1 1 24,09 24,09 24,09 24,09 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-19 1 1 24,32 24,32 24,32 24,32 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-20 1 1 24,22 24,22 24,22 24,22 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-21 1 1 24,22 24,22 24,22 24,22 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-22 1 1 24,42 24,42 24,42 24,42 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-25 1 1 24,33 24,33 24,33 24,33 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-26 1 1 24,15 24,15 24,15 24,15 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-27 1 1 23,7 23,7 23,7 23,7 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-28 1 1 23,29 23,29 23,29 23,29 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-04-29 1 1 23,59 23,59 23,59 23,59 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-02 1 1 23,72 23,72 23,72 23,72 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-03 1 1 23,48 23,48 23,48 23,48 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-04 1 1 23,27 23,27 23,27 23,27 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-06 1 1 23,55 23,55 23,55 23,55 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-09 1 1 23,47 23,47 23,47 23,47 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-10 1 1 23,47 23,47 23,47 23,47 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-11 1 1 23,37 23,37 23,37 23,37 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-12 1 1 23,51 23,51 23,51 23,51 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-13 1 1 23,27 23,27 23,27 23,27 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-16 1 1 23,23 23,23 23,23 23,23 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-17 1 1 23,46 23,46 23,46 23,46 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-18 1 1 23,69 23,69 23,69 23,69 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-19 1 1 24,04 24,04 24,04 24,04 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-20 1 1 24,06 24,06 24,06 24,06 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-23 1 1 23,99 23,99 23,99 23,99 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-24 1 1 23,98 23,98 23,98 23,98 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-25 1 1 24,06 24,06 24,06 24,06 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-26 1 1 24,09 24,09 24,09 24,09 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-27 1 1 24,13 24,13 24,13 24,13 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-30 1 1 24,12 24,12 24,12 24,12 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-05-31 1 1 24,09 24,09 24,09 24,09 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-01 1 1 24 24 24 24 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-02 1 1 24,23 24,23 24,23 24,23 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-03 1 1 24,26 24,26 24,26 24,26 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-07 1 1 24,21 24,21 24,21 24,21 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-08 1 1 24,47 24,47 24,47 24,47 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-09 1 1 24,51 24,51 24,51 24,51 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-10 1 1 24,58 24,58 24,58 24,58 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-13 1 1 24,7 24,7 24,7 24,7 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-14 1 1 25,02 25,02 25,02 25,02 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-15 1 1 24,88 24,88 24,88 24,88 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-16 1 1 24,92 24,92 24,92 24,92 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-17 1 1 24,98 24,98 24,98 24,98 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-20 1 1 24,86 24,86 24,86 24,86 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-21 1 1 24,93 24,93 24,93 24,93 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-22 1 1 25,05 25,05 25,05 25,05 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-23 1 1 25,16 25,16 25,16 25,16 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-27 1 1 24,95 24,95 24,95 24,95 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-28 1 1 25,19 25,19 25,19 25,19 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-29 1 1 25,28 25,28 25,28 25,28 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-06-30 1 1 25,57 25,57 25,57 25,57 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-01 1 1 25,55 25,55 25,55 25,55 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-04 1 1 25,74 25,74 25,74 25,74 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-05 1 1 25,95 25,95 25,95 25,95 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-06 1 1 26,12 26,12 26,12 26,12 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-07 1 1 25,53 25,53 25,53 25,53 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-08 1 1 25,92 25,92 25,92 25,92 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-11 1 1 26,24 26,24 26,24 26,24 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-12 1 1 26,33 26,33 26,33 26,33 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-13 1 1 26,22 26,22 26,22 26,22 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-14 1 1 26,14 26,14 26,14 26,14 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-15 1 1 26,01 26,01 26,01 26,01 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-18 1 1 25,97 25,97 25,97 25,97 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-19 1 1 25,91 25,91 25,91 25,91 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-20 1 1 25,85 25,85 25,85 25,85 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-21 1 1 25,88 25,88 25,88 25,88 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-22 1 1 25,84 25,84 25,84 25,84 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-25 1 1 26,11 26,11 26,11 26,11 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-26 1 1 26,11 26,11 26,11 26,11 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-27 1 1 26,33 26,33 26,33 26,33 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-28 1 1 26,35 26,35 26,35 26,35 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-07-29 1 1 26,39 26,39 26,39 26,39 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-01 1 1 26,33 26,33 26,33 26,33 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-02 1 1 26,43 26,43 26,43 26,43 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-03 1 1 26,62 26,62 26,62 26,62 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-04 1 1 26,72 26,72 26,72 26,72 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-05 1 1 26,64 26,64 26,64 26,64 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-08 1 1 26,75 26,75 26,75 26,75 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-09 1 1 26,93 26,93 26,93 26,93 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-10 1 1 27,2 27,2 27,2 27,2 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-11 1 1 27,18 27,18 27,18 27,18 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-12 1 1 27,13 27,13 27,13 27,13 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-15 1 1 27,42 27,42 27,42 27,42 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-16 1 1 27,37 27,37 27,37 27,37 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-17 1 1 27,31 27,31 27,31 27,31 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-18 1 1 27,24 27,24 27,24 27,24 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-19 1 1 27,29 27,29 27,29 27,29 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-22 1 1 27,39 27,39 27,39 27,39 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-23 1 1 27,65 27,65 27,65 27,65 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-24 1 1 27,1 27,1 27,1 27,1 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-25 1 1 26,88 26,88 26,88 26,88 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-26 1 1 27,17 27,17 27,17 27,17 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-29 1 1 27,07 27,07 27,07 27,07 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-30 1 1 27,43 27,43 27,43 27,43 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-08-31 1 1 27,54 27,54 27,54 27,54 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-01 1 1 27,62 27,62 27,62 27,62 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-02 1 1 27,54 27,54 27,54 27,54 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-05 1 1 27,54 27,54 27,54 27,54 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-06 1 1 27,7 27,7 27,7 27,7 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-07 1 1 27,77 27,77 27,77 27,77 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-08 1 1 27,86 27,86 27,86 27,86 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-09 1 1 28,01 28,01 28,01 28,01 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-12 1 1 28,2 28,2 28,2 28,2 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-13 1 1 28,38 28,38 28,38 28,38 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-14 1 1 28,4 28,4 28,4 28,4 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-15 1 1 28,52 28,52 28,52 28,52 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-16 1 1 28,7 28,7 28,7 28,7 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-19 1 1 29,04 29,04 29,04 29,04 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-20 1 1 28,78 28,78 28,78 28,78 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-21 1 1 28,73 28,73 28,73 28,73 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-22 1 1 28,5 28,5 28,5 28,5 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-23 1 1 28,61 28,61 28,61 28,61 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-26 1 1 28,96 28,96 28,96 28,96 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-27 1 1 29,22 29,22 29,22 29,22 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-28 1 1 29,44 29,44 29,44 29,44 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-29 1 1 29,3 29,3 29,3 29,3 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-09-30 1 1 29,44 29,44 29,44 29,44 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-03 1 1 29,73 29,73 29,73 29,73 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-04 1 1 29,93 29,93 29,93 29,93 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-05 1 1 29,93 29,93 29,93 29,93 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-06 1 1 29,35 29,35 29,35 29,35 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-07 1 1 29,63 29,63 29,63 29,63 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-10 1 1 29,96 29,96 29,96 29,96 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-11 1 1 30,18 30,18 30,18 30,18 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-12 1 1 30,17 30,17 30,17 30,17 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-13 1 1 29,53 29,53 29,53 29,53 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-14 1 1 29,52 29,52 29,52 29,52 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-17 1 1 29,59 29,59 29,59 29,59 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-18 1 1 29,53 29,53 29,53 29,53 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-19 1 1 28,67 28,67 28,67 28,67 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-20 1 1 28,98 28,98 28,98 28,98 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-21 1 1 28,34 28,34 28,34 28,34 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-24 1 1 28,52 28,52 28,52 28,52 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-25 1 1 28,66 28,66 28,66 28,66 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-26 1 1 28,62 28,62 28,62 28,62 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-27 1 1 28,45 28,45 28,45 28,45 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-28 1 1 28,32 28,32 28,32 28,32 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-10-31 1 1 28,79 28,79 28,79 28,79 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-01 1 1 28,9 28,9 28,9 28,9 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-02 1 1 28,72 28,72 28,72 28,72 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-03 1 1 29,03 29,03 29,03 29,03 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-04 1 1 29,19 29,19 29,19 29,19 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-07 1 1 29,29 29,29 29,29 29,29 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-08 1 1 29,35 29,35 29,35 29,35 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-09 1 1 29,56 29,56 29,56 29,56 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-10 1 1 29,91 29,91 29,91 29,91 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-11 1 1 30,01 30,01 30,01 30,01 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-14 1 1 30,07 30,07 30,07 30,07 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-15 1 1 30,14 30,14 30,14 30,14 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-16 1 1 30,16 30,16 30,16 30,16 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-17 1 1 30,39 30,39 30,39 30,39 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-18 1 1 30,74 30,74 30,74 30,74 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-21 1 1 30,84 30,84 30,84 30,84 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-22 1 1 31,04 31,04 31,04 31,04 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-23 1 1 31,01 31,01 31,01 31,01 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-24 1 1 31,01 31,01 31,01 31,01 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-25 1 1 31,3 31,3 31,3 31,3 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-28 1 1 31,49 31,49 31,49 31,49 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-29 1 1 31,37 31,37 31,37 31,37 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-11-30 1 1 31,24 31,24 31,24 31,24 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-01 1 1 31,65 31,65 31,65 31,65 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-02 1 1 31,68 31,68 31,68 31,68 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-05 1 1 31,62 31,62 31,62 31,62 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-06 1 1 31,89 31,89 31,89 31,89 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-07 1 1 32 32 32 32 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-08 1 1 32,03 32,03 32,03 32,03 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-12 1 1 32,4 32,4 32,4 32,4 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-13 1 1 32,45 32,45 32,45 32,45 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-14 1 1 32,42 32,42 32,42 32,42 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-15 1 1 32,44 32,44 32,44 32,44 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-16 1 1 32,59 32,59 32,59 32,59 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-19 1 1 32,68 32,68 32,68 32,68 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-20 1 1 32,76 32,76 32,76 32,76 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-21 1 1 33,13 33,13 33,13 33,13 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-22 1 1 33,42 33,42 33,42 33,42 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-23 1 1 33,63 33,63 33,63 33,63 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-27 1 1 33,77 33,77 33,77 33,77 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-28 1 1 33,87 33,87 33,87 33,87 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-29 1 1 34,22 34,22 34,22 34,22 943514 Banco Fonder AB Banco Teknik & Innovation Pension SEK 2005-12-30 1 1 34,21 34,21 34,21 34,21 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-04 6,728 6,718 32,88 32,88 221,21664 220,88784 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-05 6,828 6,818 32,39 32,39 221,15892 220,83502 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-07 6,87 6,86 32,14 32,14 220,8018 220,4804 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-10 6,96091 6,95091 32,08 32,08 223,3059928 222,9851928 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-11 6,96091 6,95091 32,23 32,23 224,3501293 224,0278293 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-12 6,913 6,903 32,23 32,23 222,80599 222,48369 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-13 6,843 6,833 32,5 32,5 222,3975 222,0725 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-14 6,915 6,905 32,71 32,71 226,18965 225,86255 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-17 6,915 6,905 33,35 33,35 230,61525 230,28175 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-18 6,968 6,958 33,35 33,35 232,3828 232,0493 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-19 6,91 6,9 33,29 33,29 230,0339 229,701 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-20 6,96 6,95 33,1 33,1 230,376 230,045 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-21 6,978 6,968 32,99 32,99 230,20422 229,87432 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-24 6,933 6,923 32,89 32,89 228,02637 227,69747 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-25 6,95 6,94 33,02 33,02 229,489 229,1588 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-26 6,995 6,985 33,25 33,25 232,58375 232,25125 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-27 6,93 6,92 33,25 33,25 230,4225 230,09 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-28 6,985 6,975 33,32 33,32 232,7402 232,407 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-01-31 6,998 6,988 33,6 33,6 235,1328 234,7968 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-01 6,993 6,983 33,48 33,48 234,12564 233,79084 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-02 6,953 6,943 33,63 33,63 233,82939 233,49309 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-03 6,968 6,958 33,8 33,8 235,5184 235,1804 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-04 7,01 7 33,92 33,92 237,7792 237,44 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-07 7,065 7,055 34,32 34,32 242,4708 242,1276 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-08 7,123 7,113 34,33 34,33 244,53259 244,18929 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-09 7,1 7,09 34,22 34,22 242,962 242,6198 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-10 7,088 7,078 34,21 34,21 242,48048 242,13838 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-11 7,068 7,058 34,23 34,23 241,93764 241,59534 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-14 7,03 7,02 34,76 34,76 244,3628 244,0152 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-15 7,005 6,995 34,78 34,78 243,6339 243,2861 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-16 6,973 6,963 34,77 34,77 242,45121 242,10351 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-17 6,97 6,96 34,56 34,56 240,8832 240,5376 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-18 6,965 6,955 34,88 34,88 242,9392 242,5904 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-21 6,978 6,968 34,98 34,98 244,09044 243,74064 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-22 6,905 6,895 35,07 35,07 242,15835 241,80765 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-23 6,895 6,885 34,83 34,83 240,15285 239,80455 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-24 6,858 6,848 35,28 35,28 241,95024 241,59744 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-25 6,885 6,875 35,65 35,65 245,45025 245,09375 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-02-28 6,828 6,818 35,85 35,85 244,7838 244,4253 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-01 6,87 6,86 35,81 35,81 246,0147 245,6566 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-02 6,888 6,878 35,42 35,42 243,97296 243,61876 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-03 6,903 6,893 35,49 35,49 244,98747 244,63257 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-04 6,9 6,89 35,23 35,23 243,087 242,7347 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-07 6,84 6,83 35,58 35,58 243,3672 243,0114 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-08 6,825 6,815 35,59 35,59 242,90175 242,54585 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-09 6,76 6,75 35,81 35,81 242,0756 241,7175 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-10 6,745 6,735 35,52 35,52 239,5824 239,2272 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-11 6,765 6,755 35,73 35,73 241,71345 241,35615 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-14 6,76 6,75 35,45 35,45 239,642 239,2875 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-15 6,815 6,805 34,75 34,75 236,82125 236,47375 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-16 6,81 6,8 34,93 34,93 237,8733 237,524 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-18 6,828 6,818 34,7 34,7 236,9316 236,5846 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-21 6,908 6,898 34,67 34,67 239,50036 239,15366 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-22 6,928 6,918 34,42 34,42 238,46176 238,11756 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-23 6,973 6,963 34,15 34,15 238,12795 237,78645 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-24 7,008 6,998 33,9 33,9 237,5712 237,2322 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-29 7,055 7,045 33,64 33,64 237,3302 236,9938 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-30 7,053 7,043 33,43 33,43 235,78179 235,44749 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-03-31 7,065 7,055 33,8 33,8 238,797 238,459 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-01 7,07 7,06 34,23 34,23 242,0061 241,6638 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-04 7,113 7,103 34,08 34,08 242,41104 242,07024 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-05 7,163 7,153 34 34 243,542 243,202 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-06 7,125 7,115 34,15 34,15 243,31875 242,97725 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-07 7,083 7,073 34,16 34,16 241,95528 241,61368 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-08 7,153 7,143 34,37 34,37 245,84861 245,50491 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-11 7,098 7,088 34,24 34,24 243,03552 242,69312 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-12 7,048 7,038 34,29 34,29 241,67592 241,33302 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-13 7,075 7,065 34,37 34,37 243,16775 242,82405 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-14 7,12 7,11 33,86 33,86 241,0832 240,7446 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-15 7,17 7,16 33,42 33,42 239,6214 239,2872 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-18 7,08 7,07 32,49 32,49 230,0292 229,7043 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-19 7,068 7,058 33 33 233,244 232,914 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-20 7,043 7,033 33,12 33,12 233,26416 232,93296 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-21 7,025 7,015 33,21 33,21 233,30025 232,96815 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-22 7,023 7,013 33,49 33,49 235,20027 234,86537 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-25 7,04 7,03 33,5 33,5 235,84 235,505 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-26 7,035 7,025 33,59 33,59 236,30565 235,96975 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-27 7,085 7,075 33,44 33,44 236,9224 236,588 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-28 7,085 7,075 33,34 33,34 236,2139 235,8805 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-04-29 7,08 7,07 33,23 33,23 235,2684 234,9361 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-03 7,178 7,168 32,94 32,94 236,44332 236,11392 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-04 7,11 7,1 33,22 33,22 236,1942 235,862 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-06 7,085 7,075 33,7 33,7 238,7645 238,4275 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-09 7,168 7,158 33,53 33,53 240,34304 240,00774 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-10 7,178 7,168 33,48 33,48 240,31944 239,98464 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-11 7,15 7,14 33,21 33,21 237,4515 237,1194 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-12 7,243 7,233 33,21 33,21 240,54003 240,20793 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-13 7,265 7,255 33,1 33,1 240,4715 240,1405 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-16 7,32 7,31 32,86 32,86 240,5352 240,2066 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-17 7,313 7,303 32,71 32,71 239,20823 238,88113 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-18 7,3 7,29 32,68 32,68 238,564 238,2372 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-19 7,26 7,25 33,2 33,2 241,032 240,7 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-20 7,28 7,27 33,12 33,12 241,1136 240,7824 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-23 7,32 7,31 32,86 32,86 240,5352 240,2066 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-24 7,295 7,285 32,93 32,93 240,22435 239,89505 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-25 7,298 7,288 32,53 32,53 237,40394 237,07864 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-26 7,33 7,32 32,63 32,63 239,1779 238,8516 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-27 7,338 7,328 32,93 32,93 241,64034 241,31104 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-05-31 7,403 7,393 33,11 33,11 245,11333 244,78223 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-01 7,428 7,418 32,97 32,97 244,90116 244,57146 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-02 7,473 7,463 33,05 33,05 246,98265 246,65215 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-03 7,438 7,428 33,21 33,21 247,01598 246,68388 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-07 7,448 7,438 33,24 33,24 247,57152 247,23912 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-08 7,435 7,425 33,4 33,4 248,329 247,995 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-09 7,523 7,513 33,37 33,37 251,04251 250,70881 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-10 7,525 7,515 33,57 33,57 252,61425 252,27855 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-13 7,643 7,633 33,51 33,51 256,11693 255,78183 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-14 7,663 7,653 33,24 33,24 254,71812 254,38572 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-15 7,693 7,683 33,51 33,51 257,79243 257,45733 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-16 7,678 7,668 33,62 33,62 258,13436 257,79816 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-17 7,643 7,633 33,7 33,7 257,5691 257,2321 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-20 7,543 7,533 33,58 33,58 253,29394 252,95814 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-21 7,648 7,638 33,41 33,41 255,51968 255,18558 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-22 7,608 7,598 33,8 33,8 257,1504 256,8124 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-23 7,73 7,72 34,1 34,1 263,593 263,252 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-27 7,73 7,72 33,7 33,7 260,501 260,164 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-28 7,76 7,75 33,63 33,63 260,9688 260,6325 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-29 7,833 7,823 33,4 33,4 261,6222 261,2882 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-06-30 7,823 7,813 33,28 33,28 260,34944 260,01664 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-01 7,858 7,848 33,36 33,36 262,14288 261,80928 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-04 7,945 7,935 33,22 33,22 263,9329 263,6007 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-05 7,963 7,953 32,78 32,78 261,02714 260,69934 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-06 7,895 7,885 33,18 33,18 261,9561 261,6243 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-07 7,878 7,868 32,78 32,78 258,24084 257,91304 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-08 7,913 7,903 32,73 32,73 258,99249 258,66519 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-11 7,89 7,88 33,39 33,39 263,4471 263,1132 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-12 7,77 7,76 33,63 33,63 261,3051 260,9688 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-13 7,703 7,693 33,9 33,9 261,1317 260,7927 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-14 7,76 7,75 34,37 34,37 266,7112 266,3675 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-15 7,76 7,75 34,13 34,13 264,8488 264,5075 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-18 7,78 7,77 34,28 34,28 266,6984 266,3556 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-19 7,878 7,868 34,33 34,33 270,45174 270,10844 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-20 7,818 7,808 34,35 34,35 268,5483 268,2048 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-21 7,775 7,765 34,39 34,39 267,38225 267,03835 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-22 7,758 7,748 34,58 34,58 268,27164 267,92584 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-25 7,838 7,828 34,65 34,65 271,5867 271,2402 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-26 7,818 7,808 34,54 34,54 270,03372 269,68832 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-27 7,905 7,895 34,54 34,54 273,0387 272,6933 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-28 7,848 7,838 34,74 34,74 272,63952 272,29212 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-07-29 7,748 7,738 34,94 34,94 270,71512 270,36572 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-02 7,7 7,69 35,51 35,51 273,427 273,0719 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-03 7,685 7,675 35,71 35,71 274,43135 274,07425 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-04 7,618 7,608 35,91 35,91 273,56238 273,20328 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-05 7,548 7,538 35,57 35,57 268,48236 268,12666 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-08 7,558 7,548 35,34 35,34 267,09972 266,74632 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-09 7,548 7,538 35,41 35,41 267,27468 266,92058 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-10 7,558 7,548 35,54 35,54 268,61132 268,25592 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-11 7,523 7,513 35,62 35,62 267,96926 267,61306 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-12 7,46 7,45 35,7 35,7 266,322 265,965 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-15 7,508 7,498 35,33 35,33 265,25764 264,90434 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-16 7,523 7,513 35,27 35,27 265,33621 264,98351 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-17 7,605 7,595 35,3 35,3 268,4565 268,1035 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-18 7,61 7,6 34,72 34,72 264,2192 263,872 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-19 7,698 7,688 34,49 34,49 265,50402 265,15912 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-22 7,69 7,68 34,97 34,97 268,9193 268,5696 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-23 7,663 7,653 34,71 34,71 265,98273 265,63563 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-24 7,673 7,663 34,33 34,33 263,41409 263,07079 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-25 7,588 7,578 34,16 34,16 259,20608 258,86448 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-26 7,578 7,568 34,2 34,2 259,1676 258,8256 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-30 7,633 7,623 33,52 33,52 255,85816 255,52296 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-08-31 7,668 7,658 33,5 33,5 256,878 256,543 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-01 7,568 7,558 34,03 34,03 257,53904 257,19874 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-02 7,435 7,425 34,48 34,48 256,3588 256,014 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-05 7,41 7,4 34,49 34,49 255,5709 255,226 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-06 7,485 7,475 34,71 34,71 259,80435 259,45725 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-07 7,43 7,42 34,83 34,83 258,7869 258,4386 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-08 7,498 7,488 34,8 34,8 260,9304 260,5824 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-09 7,523 7,513 34,82 34,82 261,95086 261,60266 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-12 7,555 7,545 35,09 35,09 265,10495 264,75405 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-13 7,57 7,56 35,05 35,05 265,3285 264,978 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-14 7,61 7,6 35,06 35,06 266,8066 266,456 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-15 7,658 7,648 34,84 34,84 266,80472 266,45632 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-16 7,613 7,603 34,69 34,69 264,09497 263,74807 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-19 7,698 7,688 34,67 34,67 266,88966 266,54296 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-20 7,688 7,678 35,08 35,08 269,69504 269,34424 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-21 7,663 7,653 35,01 35,01 268,28163 267,93153 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-22 7,648 7,638 34,96 34,96 267,37408 267,02448 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-23 7,733 7,723 34,48 34,48 266,63384 266,28904 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-26 7,798 7,788 34,75 34,75 270,9805 270,633 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-27 7,825 7,815 34,7 34,7 271,5275 271,1805 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-28 7,81 7,8 34,85 34,85 272,1785 271,83 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-29 7,785 7,775 35,16 35,16 273,7206 273,369 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-09-30 7,785 7,775 35,11 35,11 273,33135 272,98025 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-03 7,783 7,773 35,08 35,08 273,02764 272,67684 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-04 7,82 7,81 35,39 35,39 276,7498 276,3959 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-05 7,795 7,785 34,95 34,95 272,43525 272,08575 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-06 7,713 7,703 34,38 34,38 265,17294 264,82914 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-07 7,683 7,673 34,4 34,4 264,2952 263,9512 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-10 7,698 7,688 34,78 34,78 267,73644 267,38864 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-11 7,77 7,76 34,89 34,89 271,0953 270,7464 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-12 7,805 7,795 34,14 34,14 266,4627 266,1213 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-13 7,83 7,82 33,64 33,64 263,4012 263,0648 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-14 7,833 7,823 33,49 33,49 262,32717 261,99227 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-17 7,835 7,825 33,19 33,19 260,04365 259,71175 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-18 7,893 7,883 33,25 33,25 262,44225 262,10975 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-19 7,96 7,95 32,4 32,4 257,904 257,58 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-20 7,93 7,92 32,53 32,53 257,9629 257,6376 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-21 7,883 7,873 32,84 32,84 258,87772 258,54932 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-24 7,995 7,985 32,62 32,62 260,7969 260,4707 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-25 7,99 7,98 32,69 32,69 261,1931 260,8662 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-26 7,868 7,858 32,73 32,73 257,51964 257,19234 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-27 7,868 7,858 32,55 32,55 256,1034 255,7779 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-10-28 7,825 7,815 32,14 32,14 251,4955 251,1741 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-01 7,963 7,953 33,28 33,28 265,00864 264,67584 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-02 7,98 7,97 33,7 33,7 268,926 268,589 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-03 8,01 8 33,72 33,72 270,0972 269,76 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-04 8,028 8,018 33,75 33,75 270,945 270,6075 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-07 8,135 8,125 33,32 33,32 271,0582 270,725 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-08 8,17 8,16 33,51 33,51 273,7767 273,4416 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-09 8,12 8,11 33,95 33,95 275,674 275,3345 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-10 8,173 8,163 34,08 34,08 278,53584 278,19504 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-11 8,235 8,225 34,66 34,66 285,4251 285,0785 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-14 8,133 8,123 34,71 34,71 282,29643 281,94933 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-15 8,185 8,175 34,47 34,47 282,13695 281,79225 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-16 8,21 8,2 34,62 34,62 284,2302 283,884 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-17 8,258 8,248 34,56 34,56 285,39648 285,05088 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-18 8,223 8,213 34,88 34,88 286,81824 286,46944 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-21 8,123 8,113 34,69 34,69 281,78687 281,43997 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-22 8,15 8,14 34,21 34,21 278,8115 278,4694 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-23 8,048 8,038 34,21 34,21 275,32208 274,97998 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-24 8,053 8,043 35,11 35,11 282,74083 282,38973 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-25 8,078 8,068 35,35 35,35 285,5573 285,2038 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-28 8,118 8,108 35,2 35,2 285,7536 285,4016 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-29 8,015 8,005 35,13 35,13 281,56695 281,21565 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-11-30 8,088 8,078 35,46 35,46 286,80048 286,44588 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-01 8,083 8,073 35,58 35,58 287,59314 287,23734 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-02 8,103 8,093 35,84 35,84 290,41152 290,05312 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-05 8,045 8,035 36,19 36,19 291,14855 290,78665 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-06 7,993 7,983 36,21 36,21 289,42653 289,06443 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-07 8,015 8,005 36,46 36,46 292,2269 291,8623 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-08 7,988 7,978 36,05 36,05 287,9674 287,6069 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-12 7,953 7,943 36,1 36,1 287,1033 286,7423 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-13 7,905 7,895 36,22 36,22 286,3191 285,9569 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-14 7,848 7,838 36,27 36,27 284,64696 284,28426 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-15 7,858 7,848 36,42 36,42 286,18836 285,82416 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-16 7,903 7,893 36,33 36,33 287,11599 286,75269 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-19 7,865 7,855 36,79 36,79 289,35335 288,98545 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-20 7,848 7,838 36,69 36,69 287,94312 287,57622 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-21 7,948 7,938 37,11 37,11 294,95028 294,57918 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-22 7,98 7,97 37 37 295,26 294,89 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-23 7,955 7,945 37,43 37,43 297,75565 297,38135 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-29 7,938 7,928 37,91 37,91 300,92958 300,55048 477729 Baring International Fund Managers (Ireland) Ltd Baring Asia Growth Fund USD 2005-12-30 7,958 7,948 37,87 37,87 301,36946 300,99076 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-04 6,728 6,718 56,75 56,75 381,814 381,2465 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-05 6,828 6,818 55,75 55,75 380,661 380,1035 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-07 6,87 6,86 54,91 54,91 377,2317 376,6826 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-10 6,96091 6,95091 54,64 54,64 380,3441224 379,7977224 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-11 6,96091 6,95091 55,53 55,53 386,5393323 385,9840323 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-12 6,913 6,903 55,43 55,43 383,18759 382,63329 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-13 6,843 6,833 55,7 55,7 381,1551 380,5981 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-14 6,915 6,905 55,81 55,81 385,92615 385,36805 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-17 6,915 6,905 56,28 56,28 389,1762 388,6134 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-18 6,968 6,958 55,8 55,8 388,8144 388,2564 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-19 6,91 6,9 55,22 55,22 381,5702 381,018 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-20 6,96 6,95 54,24 54,24 377,5104 376,968 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-21 6,978 6,968 54,61 54,61 381,06858 380,52248 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-24 6,933 6,923 54,96 54,96 381,03768 380,48808 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-25 6,95 6,94 55,72 55,72 387,254 386,6968 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-26 6,995 6,985 55,7 55,7 389,6215 389,0645 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-27 6,93 6,92 56,13 56,13 388,9809 388,4196 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-28 6,985 6,975 56,65 56,65 395,70025 395,13375 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-01-31 6,998 6,988 57,35 57,35 401,3353 400,7618 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-01 6,993 6,983 57,54 57,54 402,37722 401,80182 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-02 6,953 6,943 58,03 58,03 403,48259 402,90229 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-03 6,968 6,958 58,43 58,43 407,14024 406,55594 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-04 7,01 7 58,28 58,28 408,5428 407,96 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-07 7,065 7,055 58,97 58,97 416,62305 416,03335 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-08 7,123 7,113 58,9 58,9 419,5447 418,9557 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-09 7,1 7,09 58,86 58,86 417,906 417,3174 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-10 7,088 7,078 58,97 58,97 417,97936 417,38966 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-11 7,068 7,058 59,24 59,24 418,70832 418,11592 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-14 7,03 7,02 60,14 60,14 422,7842 422,1828 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-15 7,005 6,995 60,44 60,44 423,3822 422,7778 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-16 6,973 6,963 61,88 61,88 431,48924 430,87044 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-17 6,97 6,96 62,37 62,37 434,7189 434,0952 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-18 6,965 6,955 62,15 62,15 432,87475 432,25325 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-21 6,978 6,968 62,77 62,77 438,00906 437,38136 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-22 6,905 6,895 63,18 63,18 436,2579 435,6261 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-23 6,895 6,885 63,01 63,01 434,45395 433,82385 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-24 6,858 6,848 63,78 63,78 437,40324 436,76544 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-25 6,885 6,875 65,06 65,06 447,9381 447,2875 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-02-28 6,828 6,818 66,77 66,77 455,90556 455,23786 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-01 6,87 6,86 66,7 66,7 458,229 457,562 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-02 6,888 6,878 65,66 65,66 452,26608 451,60948 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-03 6,903 6,893 64,61 64,61 446,00283 445,35673 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-04 6,9 6,89 64,41 64,41 444,429 443,7849 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-07 6,84 6,83 66,14 66,14 452,3976 451,7362 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-08 6,825 6,815 66,48 66,48 453,726 453,0612 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-09 6,76 6,75 66,92 66,92 452,3792 451,71 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-10 6,745 6,735 66,25 66,25 446,85625 446,19375 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-11 6,765 6,755 65,25 65,25 441,41625 440,76375 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-14 6,76 6,75 64,62 64,62 436,8312 436,185 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-15 6,815 6,805 64,13 64,13 437,04595 436,40465 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-16 6,81 6,8 61,49 61,49 418,7469 418,132 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-18 6,828 6,818 61,13 61,13 417,39564 416,78434 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-21 6,908 6,898 59,88 59,88 413,65104 413,05224 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-22 6,928 6,918 59,8 59,8 414,2944 413,6964 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-23 6,973 6,963 59,02 59,02 411,54646 410,95626 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-24 7,008 6,998 59,55 59,55 417,3264 416,7309 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-29 7,055 7,045 59,14 59,14 417,2327 416,6413 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-30 7,053 7,043 59,02 59,02 416,26806 415,67786 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-03-31 7,065 7,055 59,91 59,91 423,26415 422,66505 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-01 7,07 7,06 60,81 60,81 429,9267 429,3186 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-04 7,113 7,103 60,25 60,25 428,55825 427,95575 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-05 7,163 7,153 60,53 60,53 433,57639 432,97109 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-06 7,125 7,115 61,69 61,69 439,54125 438,92435 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-07 7,083 7,073 62,11 62,11 439,92513 439,30403 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-08 7,153 7,143 62,03 62,03 443,70059 443,08029 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-11 7,098 7,088 61,77 61,77 438,44346 437,82576 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-12 7,048 7,038 61,85 61,85 435,9188 435,3003 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-13 7,075 7,065 62,29 62,29 440,70175 440,07885 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-14 7,12 7,11 61,05 61,05 434,676 434,0655 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-15 7,17 7,16 60 60 430,2 429,6 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-18 7,08 7,07 58,86 58,86 416,7288 416,1402 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-19 7,068 7,058 59 59 417,012 416,422 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-20 7,043 7,033 59,58 59,58 419,62194 419,02614 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-21 7,025 7,015 59,36 59,36 417,004 416,4104 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-22 7,023 7,013 60,02 60,02 421,52046 420,92026 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-25 7,04 7,03 59,95 59,95 422,048 421,4485 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-26 7,035 7,025 59,97 59,97 421,88895 421,28925 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-27 7,085 7,075 58,85 58,85 416,95225 416,36375 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-28 7,085 7,075 58,15 58,15 411,99275 411,41125 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-04-29 7,08 7,07 57,26 57,26 405,4008 404,8282 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-03 7,178 7,168 57,53 57,53 412,95034 412,37504 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-04 7,11 7,1 57,99 57,99 412,3089 411,729 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-06 7,085 7,075 58,43 58,43 413,97655 413,39225 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-09 7,168 7,158 58,31 58,31 417,96608 417,38298 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-10 7,178 7,168 57,94 57,94 415,89332 415,31392 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-11 7,15 7,14 57,18 57,18 408,837 408,2652 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-12 7,243 7,233 57,16 57,16 414,00988 413,43828 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-13 7,265 7,255 55,6 55,6 403,934 403,378 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-16 7,32 7,31 55,03 55,03 402,8196 402,2693 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-17 7,313 7,303 54,89 54,89 401,41057 400,86167 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-18 7,3 7,29 55,93 55,93 408,289 407,7297 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-19 7,26 7,25 57,15 57,15 414,909 414,3375 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-20 7,28 7,27 57,48 57,48 418,4544 417,8796 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-23 7,32 7,31 57,02 57,02 417,3864 416,8162 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-24 7,295 7,285 57,56 57,56 419,9002 419,3246 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-25 7,298 7,288 57,25 57,25 417,8105 417,238 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-26 7,33 7,32 57,23 57,23 419,4959 418,9236 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-27 7,338 7,328 57,77 57,77 423,91626 423,33856 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-05-31 7,403 7,393 57,93 57,93 428,85579 428,27649 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-01 7,428 7,418 57,84 57,84 429,63552 429,05712 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-02 7,473 7,463 58,42 58,42 436,57266 435,98846 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-03 7,438 7,428 58,48 58,48 434,97424 434,38944 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-07 7,448 7,438 59,26 59,26 441,36848 440,77588 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-08 7,435 7,425 59,39 59,39 441,56465 440,97075 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-09 7,523 7,513 59,21 59,21 445,43683 444,84473 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-10 7,525 7,515 59,65 59,65 448,86625 448,26975 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-13 7,643 7,633 59,6 59,6 455,5228 454,9268 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-14 7,663 7,653 60,07 60,07 460,31641 459,71571 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-15 7,693 7,683 59,82 59,82 460,19526 459,59706 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-16 7,678 7,668 60,69 60,69 465,97782 465,37092 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-17 7,643 7,633 60,85 60,85 465,07655 464,46805 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-20 7,543 7,533 61,2 61,2 461,6316 461,0196 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-21 7,648 7,638 61,09 61,09 467,21632 466,60542 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-22 7,608 7,598 61,41 61,41 467,20728 466,59318 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-23 7,73 7,72 61,93 61,93 478,7189 478,0996 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-27 7,73 7,72 60,73 60,73 469,4429 468,8356 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-28 7,76 7,75 61,03 61,03 473,5928 472,9825 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-29 7,833 7,823 61,16 61,16 479,06628 478,45468 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-06-30 7,823 7,813 61,66 61,66 482,36618 481,74958 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-01 7,858 7,848 62,28 62,28 489,39624 488,77344 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-04 7,945 7,935 62,59 62,59 497,27755 496,65165 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-05 7,963 7,953 62,58 62,58 498,32454 497,69874 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-06 7,895 7,885 62,95 62,95 496,99025 496,36075 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-07 7,878 7,868 62,58 62,58 493,00524 492,37944 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-08 7,913 7,903 63,59 63,59 503,18767 502,55177 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-11 7,89 7,88 64,22 64,22 506,6958 506,0536 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-12 7,77 7,76 64,5 64,5 501,165 500,52 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-13 7,703 7,693 65,37 65,37 503,54511 502,89141 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-14 7,76 7,75 65,14 65,14 505,4864 504,835 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-15 7,76 7,75 64,84 64,84 503,1584 502,51 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-18 7,78 7,77 64,5 64,5 501,81 501,165 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-19 7,878 7,868 64,2 64,2 505,7676 505,1256 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-20 7,818 7,808 65,53 65,53 512,31354 511,65824 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-21 7,775 7,765 65,71 65,71 510,89525 510,23815 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-22 7,758 7,748 65,83 65,83 510,70914 510,05084 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-25 7,838 7,828 66,15 66,15 518,4837 517,8222 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-26 7,818 7,808 65,96 65,96 515,67528 515,01568 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-27 7,905 7,895 66,31 66,31 524,18055 523,51745 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-28 7,848 7,838 67,43 67,43 529,19064 528,51634 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-07-29 7,748 7,738 68 68 526,864 526,184 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-02 7,7 7,69 69,51 69,51 535,227 534,5319 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-03 7,685 7,675 69,94 69,94 537,4889 536,7895 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-04 7,618 7,608 69,66 69,66 530,66988 529,97328 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-05 7,548 7,538 69,98 69,98 528,20904 527,50924 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-08 7,558 7,548 71,01 71,01 536,69358 535,98348 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-09 7,548 7,538 71,27 71,27 537,94596 537,23326 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-10 7,558 7,548 71,42 71,42 539,79236 539,07816 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-11 7,523 7,513 71,08 71,08 534,73484 534,02404 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-12 7,46 7,45 69,98 69,98 522,0508 521,351 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-15 7,508 7,498 69,52 69,52 521,95616 521,26096 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-16 7,523 7,513 70,54 70,54 530,67242 529,96702 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-17 7,605 7,595 70,62 70,62 537,0651 536,3589 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-18 7,61 7,6 69,9 69,9 531,939 531,24 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-19 7,698 7,688 69,83 69,83 537,55134 536,85304 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-22 7,69 7,68 70,6 70,6 542,914 542,208 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-23 7,663 7,653 70,88 70,88 543,15344 542,44464 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-24 7,673 7,663 71,47 71,47 548,38931 547,67461 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-25 7,588 7,578 71,25 71,25 540,645 539,9325 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-26 7,578 7,568 72,11 72,11 546,44958 545,72848 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-30 7,633 7,623 73,28 73,28 559,34624 558,61344 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-08-31 7,668 7,658 73,58 73,58 564,21144 563,47564 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-01 7,568 7,558 76,37 76,37 577,96816 577,20446 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-02 7,435 7,425 78,52 78,52 583,7962 583,011 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-05 7,41 7,4 77,64 77,64 575,3124 574,536 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-06 7,485 7,475 76,76 76,76 574,5486 573,781 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-07 7,43 7,42 76,64 76,64 569,4352 568,6688 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-08 7,498 7,488 76,26 76,26 571,79748 571,03488 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-09 7,523 7,513 77,92 77,92 586,19216 585,41296 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-12 7,555 7,545 78,38 78,38 592,1609 591,3771 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-13 7,57 7,56 78,81 78,81 596,5917 595,8036 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-14 7,61 7,6 77,37 77,37 588,7857 588,012 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-15 7,658 7,648 78,51 78,51 601,22958 600,44448 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-16 7,613 7,603 80,73 80,73 614,59749 613,79019 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-19 7,698 7,688 81,27 81,27 625,61646 624,80376 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-20 7,688 7,678 81,34 81,34 625,34192 624,52852 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-21 7,663 7,653 81,35 81,35 623,38505 622,57155 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-22 7,648 7,638 82,4 82,4 630,1952 629,3712 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-23 7,733 7,723 81,11 81,11 627,22363 626,41253 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-26 7,798 7,788 80,66 80,66 628,98668 628,18008 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-27 7,825 7,815 82,42 82,42 644,9365 644,1123 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-28 7,81 7,8 83,15 83,15 649,4015 648,57 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-29 7,785 7,775 82,78 82,78 644,4423 643,6145 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-09-30 7,785 7,775 82,77 82,77 644,36445 643,53675 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-03 7,783 7,773 82,76 82,76 644,12108 643,29348 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-04 7,82 7,81 84,66 84,66 662,0412 661,1946 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-05 7,795 7,785 83,62 83,62 651,8179 650,9817 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-06 7,713 7,703 80,17 80,17 618,35121 617,54951 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-07 7,683 7,673 79,01 79,01 607,03383 606,24373 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-10 7,698 7,688 79,45 79,45 611,6061 610,8116 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-11 7,77 7,76 80,65 80,65 626,6505 625,844 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-12 7,805 7,795 80,12 80,12 625,3366 624,5354 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-13 7,83 7,82 76,21 76,21 596,7243 595,9622 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-14 7,833 7,823 74,1 74,1 580,4253 579,6843 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-17 7,835 7,825 74,52 74,52 583,8642 583,119 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-18 7,893 7,883 75,51 75,51 596,00043 595,24533 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-19 7,96 7,95 71,84 71,84 571,8464 571,128 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-20 7,93 7,92 72,71 72,71 576,5903 575,8632 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-21 7,883 7,873 71,93 71,93 567,02419 566,30489 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-24 7,995 7,985 73,18 73,18 585,0741 584,3423 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-25 7,99 7,98 74,03 74,03 591,4997 590,7594 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-26 7,868 7,858 74,89 74,89 589,23452 588,48562 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-27 7,868 7,858 73,09 73,09 575,07212 574,34122 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-10-28 7,825 7,815 72,79 72,79 569,58175 568,85385 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-01 7,963 7,953 75,35 75,35 600,01205 599,25855 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-02 7,98 7,97 76,92 76,92 613,8216 613,0524 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-03 8,01 8 78,21 78,21 626,4621 625,68 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-04 8,028 8,018 78,48 78,48 630,03744 629,25264 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-07 8,135 8,125 77,54 77,54 630,7879 630,0125 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-08 8,17 8,16 77,27 77,27 631,2959 630,5232 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-09 8,12 8,11 77,65 77,65 630,518 629,7415 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-10 8,173 8,163 76,56 76,56 625,72488 624,95928 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-11 8,235 8,225 75,74 75,74 623,7189 622,9615 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-14 8,133 8,123 76,22 76,22 619,89726 619,13506 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-15 8,185 8,175 76,17 76,17 623,45145 622,68975 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-16 8,21 8,2 75,79 75,79 622,2359 621,478 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-17 8,258 8,248 77,76 77,76 642,14208 641,36448 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-18 8,223 8,213 77,98 77,98 641,22954 640,44974 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-21 8,123 8,113 78,85 78,85 640,49855 639,71005 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-22 8,15 8,14 78,05 78,05 636,1075 635,327 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-23 8,048 8,038 78,42 78,42 631,12416 630,33996 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-24 8,053 8,043 79,06 79,06 636,67018 635,87958 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-25 8,078 8,068 79,38 79,38 641,23164 640,43784 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-28 8,118 8,108 80,47 80,47 653,25546 652,45076 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-29 8,015 8,005 79,9 79,9 640,3985 639,5995 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-11-30 8,088 8,078 80,07 80,07 647,60616 646,80546 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-01 8,083 8,073 80,32 80,32 649,22656 648,42336 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-02 8,103 8,093 81,99 81,99 664,36497 663,54507 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-05 8,045 8,035 82,27 82,27 661,86215 661,03945 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-06 7,993 7,983 81,47 81,47 651,18971 650,37501 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-07 8,015 8,005 81,61 81,61 654,10415 653,28805 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-08 7,988 7,978 81,09 81,09 647,74692 646,93602 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-12 7,953 7,943 82,37 82,37 655,08861 654,26491 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-13 7,905 7,895 82,63 82,63 653,19015 652,36385 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-14 7,848 7,838 82,98 82,98 651,22704 650,39724 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-15 7,858 7,848 82,93 82,93 651,66394 650,83464 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-16 7,903 7,893 82,54 82,54 652,31362 651,48822 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-19 7,865 7,855 83,05 83,05 653,18825 652,35775 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-20 7,848 7,838 83,03 83,03 651,61944 650,78914 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-21 7,948 7,938 82,86 82,86 658,57128 657,74268 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-22 7,98 7,97 83,11 83,11 663,2178 662,3867 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-23 7,955 7,945 83,43 83,43 663,68565 662,85135 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-29 7,938 7,928 83,66 83,66 664,09308 663,25648 983593 Baring International Fund Managers (Ireland) Ltd Baring Eastern Europe Fund USD 2005-12-30 7,958 7,948 83,61 83,61 665,36838 664,53228 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-04 6,728 6,718 32,44 32,44 218,25632 217,93192 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-05 6,828 6,818 31,95 31,95 218,1546 217,8351 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-07 6,87 6,86 32,23 32,23 221,4201 221,0978 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-10 6,96091 6,95091 32,09 32,09 223,3756019 223,0547019 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-11 6,96091 6,95091 32,1 32,1 223,445211 223,124211 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-12 6,913 6,903 31,92 31,92 220,66296 220,34376 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-13 6,843 6,833 32 32 218,976 218,656 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-14 6,915 6,905 31,86 31,86 220,3119 219,9933 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-17 6,915 6,905 32,07 32,07 221,76405 221,44335 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-18 6,968 6,958 31,93 31,93 222,48824 222,16894 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-19 6,91 6,9 32,2 32,2 222,502 222,18 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-20 6,96 6,95 31,62 31,62 220,0752 219,759 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-21 6,978 6,968 31,65 31,65 220,8537 220,5372 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-24 6,933 6,923 31,76 31,76 220,19208 219,87448 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-25 6,95 6,94 31,88 31,88 221,566 221,2472 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-26 6,995 6,985 31,96 31,96 223,5602 223,2406 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-27 6,93 6,92 32,04 32,04 222,0372 221,7168 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-28 6,985 6,975 32,07 32,07 224,00895 223,68825 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-01-31 6,998 6,988 32,25 32,25 225,6855 225,363 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-01 6,993 6,983 32,32 32,32 226,01376 225,69056 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-02 6,953 6,943 32,6 32,6 226,6678 226,3418 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-03 6,968 6,958 32,52 32,52 226,59936 226,27416 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-04 7,01 7 32,49 32,49 227,7549 227,43 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-07 7,065 7,055 32,56 32,56 230,0364 229,7108 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-08 7,123 7,113 32,38 32,38 230,64274 230,31894 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-09 7,1 7,09 32,46 32,46 230,466 230,1414 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-10 7,088 7,078 32,46 32,46 230,07648 229,75188 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-11 7,068 7,058 32,83 32,83 232,04244 231,71414 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-14 7,03 7,02 33,27 33,27 233,8881 233,5554 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-15 7,005 6,995 33,4 33,4 233,967 233,633 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-16 6,973 6,963 33,36 33,36 232,61928 232,28568 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-17 6,97 6,96 33,57 33,57 233,9829 233,6472 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-18 6,965 6,955 33,51 33,51 233,39715 233,06205 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-21 6,978 6,968 33,41 33,41 233,13498 232,80088 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-22 6,905 6,895 33,44 33,44 230,9032 230,5688 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-23 6,895 6,885 33,27 33,27 229,39665 229,06395 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-24 6,858 6,848 33,6 33,6 230,4288 230,0928 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-25 6,885 6,875 33,67 33,67 231,81795 231,48125 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-02-28 6,828 6,818 34,02 34,02 232,28856 231,94836 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-01 6,87 6,86 33,96 33,96 233,3052 232,9656 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-02 6,888 6,878 33,74 33,74 232,40112 232,06372 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-03 6,903 6,893 33,91 33,91 234,08073 233,74163 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-04 6,9 6,89 33,93 33,93 234,117 233,7777 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-07 6,84 6,83 34,39 34,39 235,2276 234,8837 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-08 6,825 6,815 34,4 34,4 234,78 234,436 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-09 6,76 6,75 34,77 34,77 235,0452 234,6975 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-10 6,745 6,735 34,37 34,37 231,82565 231,48195 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-11 6,765 6,755 34,44 34,44 232,9866 232,6422 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-14 6,76 6,75 34,3 34,3 231,868 231,525 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-15 6,815 6,805 34,44 34,44 234,7086 234,3642 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-16 6,81 6,8 34,4 34,4 234,264 233,92 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-18 6,828 6,818 33,95 33,95 231,8106 231,4711 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-21 6,908 6,898 33,61 33,61 232,17788 231,84178 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-22 6,928 6,918 33,35 33,35 231,0488 230,7153 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-23 6,973 6,963 32,91 32,91 229,48143 229,15233 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-24 7,008 6,998 33,01 33,01 231,33408 231,00398 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-29 7,055 7,045 32,81 32,81 231,47455 231,14645 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-30 7,053 7,043 32,86 32,86 231,76158 231,43298 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-03-31 7,065 7,055 33,13 33,13 234,06345 233,73215 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-01 7,07 7,06 33,23 33,23 234,9361 234,6038 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-04 7,113 7,103 32,82 32,82 233,44866 233,12046 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-05 7,163 7,153 32,87 32,87 235,44781 235,11911 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-06 7,125 7,115 33,21 33,21 236,62125 236,28915 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-07 7,083 7,073 33,41 33,41 236,64303 236,30893 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-08 7,153 7,143 33,39 33,39 238,83867 238,50477 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-11 7,098 7,088 33,61 33,61 238,56378 238,22768 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-12 7,048 7,038 33,64 33,64 237,09472 236,75832 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-13 7,075 7,065 33,63 33,63 237,93225 237,59595 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-14 7,12 7,11 33,24 33,24 236,6688 236,3364 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-15 7,17 7,16 32,79 32,79 235,1043 234,7764 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-18 7,08 7,07 32,4 32,4 229,392 229,068 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-19 7,068 7,058 32,71 32,71 231,19428 230,86718 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-20 7,043 7,033 32,94 32,94 231,99642 231,66702 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-21 7,025 7,015 32,89 32,89 231,05225 230,72335 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-22 7,023 7,013 33,06 33,06 232,18038 231,84978 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-25 7,04 7,03 32,79 32,79 230,8416 230,5137 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-26 7,035 7,025 32,71 32,71 230,11485 229,78775 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-27 7,085 7,075 32,19 32,19 228,06615 227,74425 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-28 7,085 7,075 32,08 32,08 227,2868 226,966 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-04-29 7,08 7,07 32,1 32,1 227,268 226,947 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-03 7,178 7,168 31,84 31,84 228,54752 228,22912 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-04 7,11 7,1 32,12 32,12 228,3732 228,052 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-06 7,085 7,075 32,41 32,41 229,62485 229,30075 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-09 7,168 7,158 32,19 32,19 230,73792 230,41602 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-10 7,178 7,168 32,12 32,12 230,55736 230,23616 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-11 7,15 7,14 32,1 32,1 229,515 229,194 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-12 7,243 7,233 31,95 31,95 231,41385 231,09435 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-13 7,265 7,255 31,51 31,51 228,92015 228,60505 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-16 7,32 7,31 31,47 31,47 230,3604 230,0457 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-17 7,313 7,303 31,49 31,49 230,28637 229,97147 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-18 7,3 7,29 31,66 31,66 231,118 230,8014 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-19 7,26 7,25 32 32 232,32 232 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-20 7,28 7,27 32,1 32,1 233,688 233,367 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-23 7,32 7,31 32,02 32,02 234,3864 234,0662 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-24 7,295 7,285 32,09 32,09 234,09655 233,77565 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-25 7,298 7,288 32,01 32,01 233,60898 233,28888 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-26 7,33 7,32 32,13 32,13 235,5129 235,1916 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-27 7,338 7,328 32,1 32,1 235,5498 235,2288 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-05-31 7,403 7,393 31,85 31,85 235,78555 235,46705 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-01 7,428 7,418 31,73 31,73 235,69044 235,37314 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-02 7,473 7,463 31,95 31,95 238,76235 238,44285 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-03 7,438 7,428 32,01 32,01 238,09038 237,77028 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-07 7,448 7,438 32,11 32,11 239,15528 238,83418 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-08 7,435 7,425 32,4 32,4 240,894 240,57 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-09 7,523 7,513 32,12 32,12 241,63876 241,31756 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-10 7,525 7,515 32,41 32,41 243,88525 243,56115 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-13 7,643 7,633 31,93 31,93 244,04099 243,72169 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-14 7,663 7,653 32,1 32,1 245,9823 245,6613 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-15 7,693 7,683 31,97 31,97 245,94521 245,62551 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-16 7,678 7,668 32,25 32,25 247,6155 247,293 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-17 7,643 7,633 32,57 32,57 248,93251 248,60681 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-20 7,543 7,533 32,52 32,52 245,29836 244,97316 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-21 7,648 7,638 32,43 32,43 248,02464 247,70034 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-22 7,608 7,598 32,7 32,7 248,7816 248,4546 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-23 7,73 7,72 32,64 32,64 252,3072 251,9808 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-27 7,73 7,72 32,3 32,3 249,679 249,356 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-28 7,76 7,75 32,27 32,27 250,4152 250,0925 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-29 7,833 7,823 32,43 32,43 254,02419 253,69989 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-06-30 7,823 7,813 32,44 32,44 253,77812 253,45372 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-01 7,858 7,848 32,53 32,53 255,62074 255,29544 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-04 7,945 7,935 32,23 32,23 256,06735 255,74505 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-05 7,963 7,953 32,11 32,11 255,69193 255,37083 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-06 7,895 7,885 32,41 32,41 255,87695 255,55285 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-07 7,878 7,868 32,11 32,11 252,96258 252,64148 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-08 7,913 7,903 32,25 32,25 255,19425 254,87175 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-11 7,89 7,88 32,71 32,71 258,0819 257,7548 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-12 7,77 7,76 33,2 33,2 257,964 257,632 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-13 7,703 7,693 33,33 33,33 256,74099 256,40769 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-14 7,76 7,75 33,22 33,22 257,7872 257,455 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-15 7,76 7,75 33,12 33,12 257,0112 256,68 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-18 7,78 7,77 33 33 256,74 256,41 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-19 7,878 7,868 32,74 32,74 257,92572 257,59832 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-20 7,818 7,808 33,04 33,04 258,30672 257,97632 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-21 7,775 7,765 33,06 33,06 257,0415 256,7109 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-22 7,758 7,748 32,95 32,95 255,6261 255,2966 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-25 7,838 7,828 32,96 32,96 258,34048 258,01088 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-26 7,818 7,808 33,01 33,01 258,07218 257,74208 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-27 7,905 7,895 33,01 33,01 260,94405 260,61395 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-28 7,848 7,838 33,42 33,42 262,28016 261,94596 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-07-29 7,748 7,738 33,54 33,54 259,86792 259,53252 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-02 7,7 7,69 34 34 261,8 261,46 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-03 7,685 7,675 34,32 34,32 263,7492 263,406 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-04 7,618 7,608 34,31 34,31 261,37358 261,03048 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-05 7,548 7,538 34,37 34,37 259,42476 259,08106 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-08 7,558 7,548 34,49 34,49 260,67542 260,33052 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-09 7,548 7,538 34,58 34,58 261,00984 260,66404 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-10 7,558 7,548 35,01 35,01 264,60558 264,25548 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-11 7,523 7,513 35,07 35,07 263,83161 263,48091 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-12 7,46 7,45 35,28 35,28 263,1888 262,836 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-15 7,508 7,498 35,09 35,09 263,45572 263,10482 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-16 7,523 7,513 34,89 34,89 262,47747 262,12857 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-17 7,605 7,595 34,66 34,66 263,5893 263,2427 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-18 7,61 7,6 34,36 34,36 261,4796 261,136 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-19 7,698 7,688 34,42 34,42 264,96516 264,62096 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-22 7,69 7,68 34,71 34,71 266,9199 266,5728 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-23 7,663 7,653 34,59 34,59 265,06317 264,71727 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-24 7,673 7,663 34,39 34,39 263,87447 263,53057 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-25 7,588 7,578 34,4 34,4 261,0272 260,6832 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-26 7,578 7,568 34,47 34,47 261,21366 260,86896 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-30 7,633 7,623 34,13 34,13 260,51429 260,17299 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-08-31 7,668 7,658 34,28 34,28 262,85904 262,51624 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-01 7,568 7,558 35,19 35,19 266,31792 265,96602 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-02 7,435 7,425 35,68 35,68 265,2808 264,924 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-05 7,41 7,4 35,7 35,7 264,537 264,18 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-06 7,485 7,475 35,67 35,67 266,98995 266,63325 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-07 7,43 7,42 35,82 35,82 266,1426 265,7844 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-08 7,498 7,488 35,73 35,73 267,90354 267,54624 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-09 7,523 7,513 35,74 35,74 268,87202 268,51462 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-12 7,555 7,545 35,6 35,6 268,958 268,602 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-13 7,57 7,56 35,29 35,29 267,1453 266,7924 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-14 7,61 7,6 35,37 35,37 269,1657 268,812 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-15 7,658 7,648 35,36 35,36 270,78688 270,43328 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-16 7,613 7,603 35,54 35,54 270,56602 270,21062 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-19 7,698 7,688 35,36 35,36 272,20128 271,84768 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-20 7,688 7,678 35,59 35,59 273,61592 273,26002 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-21 7,663 7,653 35,55 35,55 272,41965 272,06415 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-22 7,648 7,638 35,35 35,35 270,3568 270,0033 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-23 7,733 7,723 35,11 35,11 271,50563 271,15453 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-26 7,798 7,788 35,09 35,09 273,63182 273,28092 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-27 7,825 7,815 34,99 34,99 273,79675 273,44685 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-28 7,81 7,8 35,14 35,14 274,4434 274,092 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-29 7,785 7,775 35,36 35,36 275,2776 274,924 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-09-30 7,785 7,775 35,37 35,37 275,35545 275,00175 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-03 7,783 7,773 35,16 35,16 273,65028 273,29868 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-04 7,82 7,81 35,18 35,18 275,1076 274,7558 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-05 7,795 7,785 35,01 35,01 272,90295 272,55285 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-06 7,713 7,703 34,76 34,76 268,10388 267,75628 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-07 7,683 7,673 34,83 34,83 267,59889 267,25059 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-10 7,698 7,688 35 35 269,43 269,08 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-11 7,77 7,76 34,78 34,78 270,2406 269,8928 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-12 7,805 7,795 34,53 34,53 269,50665 269,16135 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-13 7,83 7,82 34,01 34,01 266,2983 265,9582 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-14 7,833 7,823 33,75 33,75 264,36375 264,02625 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-17 7,835 7,825 33,97 33,97 266,15495 265,81525 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-18 7,893 7,883 33,76 33,76 266,46768 266,13008 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-19 7,96 7,95 32,95 32,95 262,282 261,9525 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-20 7,93 7,92 33,38 33,38 264,7034 264,3696 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-21 7,883 7,873 33,04 33,04 260,45432 260,12392 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-24 7,995 7,985 33,3 33,3 266,2335 265,9005 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-25 7,99 7,98 33,75 33,75 269,6625 269,325 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-26 7,868 7,858 33,97 33,97 267,27596 266,93626 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-27 7,868 7,858 33,84 33,84 266,25312 265,91472 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-10-28 7,825 7,815 33,53 33,53 262,37225 262,03695 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-01 7,963 7,953 34,22 34,22 272,49386 272,15166 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-02 7,98 7,97 34,33 34,33 273,9534 273,6101 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-03 8,01 8 34,95 34,95 279,9495 279,6 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-04 8,028 8,018 34,76 34,76 279,05328 278,70568 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-07 8,135 8,125 34,29 34,29 278,94915 278,60625 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-08 8,17 8,16 34,2 34,2 279,414 279,072 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-09 8,12 8,11 34,22 34,22 277,8664 277,5242 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-10 8,173 8,163 34,44 34,44 281,47812 281,13372 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-11 8,235 8,225 34,3 34,3 282,4605 282,1175 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-14 8,133 8,123 34,55 34,55 280,99515 280,64965 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-15 8,185 8,175 34,17 34,17 279,68145 279,33975 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-16 8,21 8,2 34 34 279,14 278,8 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-17 8,258 8,248 34,32 34,32 283,41456 283,07136 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-18 8,223 8,213 34,62 34,62 284,68026 284,33406 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-21 8,123 8,113 34,94 34,94 283,81762 283,46822 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-22 8,15 8,14 34,94 34,94 284,761 284,4116 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-23 8,048 8,038 35,27 35,27 283,85296 283,50026 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-24 8,053 8,043 35,28 35,28 284,10984 283,75704 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-25 8,078 8,068 35,34 35,34 285,47652 285,12312 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-28 8,118 8,108 35,41 35,41 287,45838 287,10428 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-29 8,015 8,005 35,36 35,36 283,4104 283,0568 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-11-30 8,088 8,078 35,27 35,27 285,26376 284,91106 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-01 8,083 8,073 35,45 35,45 286,54235 286,18785 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-02 8,103 8,093 35,7 35,7 289,2771 288,9201 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-05 8,045 8,035 36,02 36,02 289,7809 289,4207 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-06 7,993 7,983 36,23 36,23 289,58639 289,22409 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-07 8,015 8,005 36,19 36,19 290,06285 289,70095 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-08 7,988 7,978 36,11 36,11 288,44668 288,08558 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-12 7,953 7,943 36,77 36,77 292,43181 292,06411 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-13 7,905 7,895 36,88 36,88 291,5364 291,1676 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-14 7,848 7,838 37,09 37,09 291,08232 290,71142 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-15 7,858 7,848 37,02 37,02 290,90316 290,53296 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-16 7,903 7,893 37,28 37,28 294,62384 294,25104 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-19 7,865 7,855 37,36 37,36 293,8364 293,4628 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-20 7,848 7,838 37,36 37,36 293,20128 292,82768 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-21 7,948 7,938 37,22 37,22 295,82456 295,45236 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-22 7,98 7,97 37,14 37,14 296,3772 296,0058 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-23 7,955 7,945 37,22 37,22 296,0851 295,7129 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-29 7,938 7,928 37,44 37,44 297,19872 296,82432 155259 Baring International Fund Managers (Ireland) Ltd Baring Europa Fund USD 2005-12-30 7,958 7,948 37,24 37,24 296,35592 295,98352 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-04 6,728 6,718 15,57 15,57 104,75496 104,59926 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-05 6,828 6,818 15,19 15,19 103,71732 103,56542 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-07 6,87 6,86 14,98 14,98 102,9126 102,7628 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-10 6,96091 6,95091 15,01 15,01 104,4832591 104,3331591 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-11 6,96091 6,95091 15,08 15,08 104,9705228 104,8197228 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-12 6,913 6,903 15 15 103,695 103,545 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-13 6,843 6,833 15,12 15,12 103,46616 103,31496 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-14 6,915 6,905 15,19 15,19 105,03885 104,88695 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-17 6,915 6,905 15,42 15,42 106,6293 106,4751 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-18 6,968 6,958 15,38 15,38 107,16784 107,01404 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-19 6,91 6,9 15,31 15,31 105,7921 105,639 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-20 6,96 6,95 15,2 15,2 105,792 105,64 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-21 6,978 6,968 15,17 15,17 105,85626 105,70456 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-24 6,933 6,923 15,25 15,25 105,72825 105,57575 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-25 6,95 6,94 15,3 15,3 106,335 106,182 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-26 6,995 6,985 15,38 15,38 107,5831 107,4293 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-27 6,93 6,92 15,48 15,48 107,2764 107,1216 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-28 6,985 6,975 15,52 15,52 108,4072 108,252 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-01-31 6,998 6,988 15,68 15,68 109,72864 109,57184 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-01 6,993 6,983 15,68 15,68 109,65024 109,49344 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-02 6,953 6,943 15,76 15,76 109,57928 109,42168 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-03 6,968 6,958 15,84 15,84 110,37312 110,21472 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-04 7,01 7 15,84 15,84 111,0384 110,88 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-07 7,065 7,055 16 16 113,04 112,88 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-08 7,123 7,113 15,96 15,96 113,68308 113,52348 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-09 7,1 7,09 15,95 15,95 113,245 113,0855 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-10 7,088 7,078 15,95 15,95 113,0536 112,8941 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-11 7,068 7,058 16,01 16,01 113,15868 112,99858 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-14 7,03 7,02 16,25 16,25 114,2375 114,075 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-15 7,005 6,995 16,3 16,3 114,1815 114,0185 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-16 6,973 6,963 16,35 16,35 114,00855 113,84505 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-17 6,97 6,96 16,31 16,31 113,6807 113,5176 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-18 6,965 6,955 16,37 16,37 114,01705 113,85335 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-21 6,978 6,968 16,43 16,43 114,64854 114,48424 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-22 6,905 6,895 16,54 16,54 114,2087 114,0433 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-23 6,895 6,885 16,51 16,51 113,83645 113,67135 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-24 6,858 6,848 16,69 16,69 114,46002 114,29312 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-25 6,885 6,875 16,9 16,9 116,3565 116,1875 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-02-28 6,828 6,818 17,08 17,08 116,62224 116,45144 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-01 6,87 6,86 17,12 17,12 117,6144 117,4432 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-02 6,888 6,878 16,88 16,88 116,26944 116,10064 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-03 6,903 6,893 16,88 16,88 116,52264 116,35384 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-04 6,9 6,89 16,83 16,83 116,127 115,9587 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-07 6,84 6,83 17,08 17,08 116,8272 116,6564 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-08 6,825 6,815 17,09 17,09 116,63925 116,46835 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-09 6,76 6,75 17,13 17,13 115,7988 115,6275 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-10 6,745 6,735 16,95 16,95 114,32775 114,15825 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-11 6,765 6,755 16,94 16,94 114,5991 114,4297 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-14 6,76 6,75 16,81 16,81 113,6356 113,4675 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-15 6,815 6,805 16,49 16,49 112,37935 112,21445 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-16 6,81 6,8 16,37 16,37 111,4797 111,316 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-18 6,828 6,818 16,35 16,35 111,6378 111,4743 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-21 6,908 6,898 16,23 16,23 112,11684 111,95454 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-22 6,928 6,918 16,09 16,09 111,47152 111,31062 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-23 6,973 6,963 15,88 15,88 110,73124 110,57244 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-24 7,008 6,998 15,69 15,69 109,95552 109,79862 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-29 7,055 7,045 15,6 15,6 110,058 109,902 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-30 7,053 7,043 15,51 15,51 109,39203 109,23693 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-03-31 7,065 7,055 15,81 15,81 111,69765 111,53955 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-01 7,07 7,06 16,06 16,06 113,5442 113,3836 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-04 7,113 7,103 15,98 15,98 113,66574 113,50594 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-05 7,163 7,153 15,93 15,93 114,10659 113,94729 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-06 7,125 7,115 16,04 16,04 114,285 114,1246 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-07 7,083 7,073 16,04 16,04 113,61132 113,45092 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-08 7,153 7,143 16,11 16,11 115,23483 115,07373 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-11 7,098 7,088 16,08 16,08 114,13584 113,97504 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-12 7,048 7,038 16,09 16,09 113,40232 113,24142 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-13 7,075 7,065 16,07 16,07 113,69525 113,53455 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-14 7,12 7,11 15,82 15,82 112,6384 112,4802 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-15 7,17 7,16 15,54 15,54 111,4218 111,2664 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-18 7,08 7,07 15,23 15,23 107,8284 107,6761 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-19 7,068 7,058 15,31 15,31 108,21108 108,05798 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-20 7,043 7,033 15,53 15,53 109,37779 109,22249 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-21 7,025 7,015 15,51 15,51 108,95775 108,80265 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-22 7,023 7,013 15,68 15,68 110,12064 109,96384 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-25 7,04 7,03 15,66 15,66 110,2464 110,0898 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-26 7,035 7,025 15,76 15,76 110,8716 110,714 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-27 7,085 7,075 15,65 15,65 110,88025 110,72375 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-28 7,085 7,075 15,53 15,53 110,03005 109,87475 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-04-29 7,08 7,07 15,33 15,33 108,5364 108,3831 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-03 7,178 7,168 15,35 15,35 110,1823 110,0288 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-04 7,11 7,1 15,51 15,51 110,2761 110,121 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-06 7,085 7,075 15,87 15,87 112,43895 112,28025 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-09 7,168 7,158 15,85 15,85 113,6128 113,4543 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-10 7,178 7,168 15,84 15,84 113,69952 113,54112 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-11 7,15 7,14 15,66 15,66 111,969 111,8124 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-12 7,243 7,233 15,67 15,67 113,49781 113,34111 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-13 7,265 7,255 15,54 15,54 112,8981 112,7427 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-16 7,32 7,31 15,43 15,43 112,9476 112,7933 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-17 7,313 7,303 15,45 15,45 112,98585 112,83135 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-18 7,3 7,29 15,51 15,51 113,223 113,0679 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-19 7,26 7,25 15,78 15,78 114,5628 114,405 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-20 7,28 7,27 15,83 15,83 115,2424 115,0841 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-23 7,32 7,31 15,65 15,65 114,558 114,4015 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-24 7,295 7,285 15,69 15,69 114,45855 114,30165 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-25 7,298 7,288 15,6 15,6 113,8488 113,6928 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-26 7,33 7,32 15,65 15,65 114,7145 114,558 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-27 7,338 7,328 15,78 15,78 115,79364 115,63584 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-05-31 7,403 7,393 15,88 15,88 117,55964 117,40084 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-01 7,428 7,418 15,75 15,75 116,991 116,8335 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-02 7,473 7,463 15,82 15,82 118,22286 118,06466 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-03 7,438 7,428 15,96 15,96 118,71048 118,55088 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-07 7,448 7,438 15,95 15,95 118,7956 118,6361 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-08 7,435 7,425 15,97 15,97 118,73695 118,57725 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-09 7,523 7,513 15,94 15,94 119,91662 119,75722 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-10 7,525 7,515 15,98 15,98 120,2495 120,0897 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-13 7,643 7,633 15,99 15,99 122,21157 122,05167 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-14 7,663 7,653 15,98 15,98 122,45474 122,29494 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-15 7,693 7,683 16,11 16,11 123,93423 123,77313 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-16 7,678 7,668 16,19 16,19 124,30682 124,14492 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-17 7,643 7,633 16,33 16,33 124,81019 124,64689 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-20 7,543 7,533 16,34 16,34 123,25262 123,08922 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-21 7,648 7,638 16,27 16,27 124,43296 124,27026 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-22 7,608 7,598 16,38 16,38 124,61904 124,45524 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-23 7,73 7,72 16,45 16,45 127,1585 126,994 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-27 7,73 7,72 16,23 16,23 125,4579 125,2956 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-28 7,76 7,75 16,27 16,27 126,2552 126,0925 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-29 7,833 7,823 16,26 16,26 127,36458 127,20198 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-06-30 7,823 7,813 16,3 16,3 127,5149 127,3519 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-01 7,858 7,848 16,34 16,34 128,39972 128,23632 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-04 7,945 7,935 16,37 16,37 130,05965 129,89595 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-05 7,963 7,953 16,27 16,27 129,55801 129,39531 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-06 7,895 7,885 16,28 16,28 128,5306 128,3678 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-07 7,878 7,868 16,27 16,27 128,17506 128,01236 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-08 7,913 7,903 16,17 16,17 127,95321 127,79151 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-11 7,89 7,88 16,46 16,46 129,8694 129,7048 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-12 7,77 7,76 16,64 16,64 129,2928 129,1264 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-13 7,703 7,693 16,81 16,81 129,48743 129,31933 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-14 7,76 7,75 16,86 16,86 130,8336 130,665 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-15 7,76 7,75 16,86 16,86 130,8336 130,665 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-18 7,78 7,77 16,74 16,74 130,2372 130,0698 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-19 7,878 7,868 16,76 16,76 132,03528 131,86768 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-20 7,818 7,808 16,83 16,83 131,57694 131,40864 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-21 7,775 7,765 16,93 16,93 131,63075 131,46145 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-22 7,758 7,748 17,05 17,05 132,2739 132,1034 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-25 7,838 7,828 17,06 17,06 133,71628 133,54568 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-26 7,818 7,808 16,83 16,83 131,57694 131,40864 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-27 7,905 7,895 16,85 16,85 133,19925 133,03075 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-28 7,848 7,838 17,03 17,03 133,65144 133,48114 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-07-29 7,748 7,738 17,14 17,14 132,80072 132,62932 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-02 7,7 7,69 17,51 17,51 134,827 134,6519 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-03 7,685 7,675 17,66 17,66 135,7171 135,5405 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-04 7,618 7,608 17,76 17,76 135,29568 135,11808 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-05 7,548 7,538 17,67 17,67 133,37316 133,19646 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-08 7,558 7,548 17,59 17,59 132,94522 132,76932 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-09 7,548 7,538 17,64 17,64 133,14672 132,97032 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-10 7,558 7,548 17,82 17,82 134,68356 134,50536 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-11 7,523 7,513 17,83 17,83 134,13509 133,95679 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-12 7,46 7,45 17,66 17,66 131,7436 131,567 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-15 7,508 7,498 17,54 17,54 131,69032 131,51492 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-16 7,523 7,513 17,62 17,62 132,55526 132,37906 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-17 7,605 7,595 17,46 17,46 132,7833 132,6087 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-18 7,61 7,6 17,36 17,36 132,1096 131,936 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-19 7,698 7,688 17,27 17,27 132,94446 132,77176 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-22 7,69 7,68 17,34 17,34 133,3446 133,1712 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-23 7,663 7,653 17,45 17,45 133,71935 133,54485 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-24 7,673 7,663 17,32 17,32 132,89636 132,72316 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-25 7,588 7,578 17,21 17,21 130,58948 130,41738 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-26 7,578 7,568 17,36 17,36 131,55408 131,38048 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-30 7,633 7,623 17,24 17,24 131,59292 131,42052 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-08-31 7,668 7,658 17,3 17,3 132,6564 132,4834 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-01 7,568 7,558 17,77 17,77 134,48336 134,30566 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-02 7,435 7,425 17,94 17,94 133,3839 133,2045 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-05 7,41 7,4 18,01 18,01 133,4541 133,274 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-06 7,485 7,475 18,04 18,04 135,0294 134,849 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-07 7,43 7,42 18,11 18,11 134,5573 134,3762 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-08 7,498 7,488 18,14 18,14 136,01372 135,83232 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-09 7,523 7,513 18,29 18,29 137,59567 137,41277 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-12 7,555 7,545 18,46 18,46 139,4653 139,2807 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-13 7,57 7,56 18,4 18,4 139,288 139,104 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-14 7,61 7,6 18,26 18,26 138,9586 138,776 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-15 7,658 7,648 18,28 18,28 139,98824 139,80544 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-16 7,613 7,603 18,39 18,39 140,00307 139,81917 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-19 7,698 7,688 18,47 18,47 142,18206 141,99736 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-20 7,688 7,678 18,63 18,63 143,22744 143,04114 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-21 7,663 7,653 18,63 18,63 142,76169 142,57539 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-22 7,648 7,638 18,72 18,72 143,17056 142,98336 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-23 7,733 7,723 18,45 18,45 142,67385 142,48935 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-26 7,798 7,788 18,54 18,54 144,57492 144,38952 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-27 7,825 7,815 18,73 18,73 146,56225 146,37495 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-28 7,81 7,8 18,8 18,8 146,828 146,64 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-29 7,785 7,775 18,94 18,94 147,4479 147,2585 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-09-30 7,785 7,775 19,07 19,07 148,45995 148,26925 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-03 7,783 7,773 18,99 18,99 147,79917 147,60927 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-04 7,82 7,81 19,31 19,31 151,0042 150,8111 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-05 7,795 7,785 19,12 19,12 149,0404 148,8492 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-06 7,713 7,703 18,53 18,53 142,92189 142,73659 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-07 7,683 7,673 18,31 18,31 140,67573 140,49263 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-10 7,698 7,688 18,59 18,59 143,10582 142,91992 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-11 7,77 7,76 18,67 18,67 145,0659 144,8792 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-12 7,805 7,795 18,52 18,52 144,5486 144,3634 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-13 7,83 7,82 18,05 18,05 141,3315 141,151 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-14 7,833 7,823 17,83 17,83 139,66239 139,48409 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-17 7,835 7,825 17,79 17,79 139,38465 139,20675 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-18 7,893 7,883 17,93 17,93 141,52149 141,34219 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-19 7,96 7,95 17,32 17,32 137,8672 137,694 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-20 7,93 7,92 17,44 17,44 138,2992 138,1248 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-21 7,883 7,873 17,26 17,26 136,06058 135,88798 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-24 7,995 7,985 17,46 17,46 139,5927 139,4181 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-25 7,99 7,98 17,61 17,61 140,7039 140,5278 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-26 7,868 7,858 17,65 17,65 138,8702 138,6937 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-27 7,868 7,858 17,48 17,48 137,53264 137,35784 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-10-28 7,825 7,815 17,26 17,26 135,0595 134,8869 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-01 7,963 7,953 17,98 17,98 143,17474 142,99494 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-02 7,98 7,97 18,27 18,27 145,7946 145,6119 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-03 8,01 8 18,32 18,32 146,7432 146,56 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-04 8,028 8,018 18,57 18,57 149,07996 148,89426 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-07 8,135 8,125 18,41 18,41 149,76535 149,58125 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-08 8,17 8,16 18,4 18,4 150,328 150,144 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-09 8,12 8,11 18,62 18,62 151,1944 151,0082 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-10 8,173 8,163 18,64 18,64 152,34472 152,15832 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-11 8,235 8,225 18,63 18,63 153,41805 153,23175 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-14 8,133 8,123 18,64 18,64 151,59912 151,41272 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-15 8,185 8,175 18,58 18,58 152,0773 151,8915 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-16 8,21 8,2 18,52 18,52 152,0492 151,864 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-17 8,258 8,248 18,71 18,71 154,50718 154,32008 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-18 8,223 8,213 18,87 18,87 155,16801 154,97931 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-21 8,123 8,113 18,9 18,9 153,5247 153,3357 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-22 8,15 8,14 18,73 18,73 152,6495 152,4622 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-23 8,048 8,038 18,93 18,93 152,34864 152,15934 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-24 8,053 8,043 19,12 19,12 153,97336 153,78216 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-25 8,078 8,068 19,16 19,16 154,77448 154,58288 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-28 8,118 8,108 19,3 19,3 156,6774 156,4844 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-29 8,015 8,005 19,18 19,18 153,7277 153,5359 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-11-30 8,088 8,078 19,21 19,21 155,37048 155,17838 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-01 8,083 8,073 19,39 19,39 156,72937 156,53547 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-02 8,103 8,093 19,69 19,69 159,54807 159,35117 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-05 8,045 8,035 19,8 19,8 159,291 159,093 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-06 7,993 7,983 19,88 19,88 158,90084 158,70204 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-07 8,015 8,005 20,14 20,14 161,4221 161,2207 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-08 7,988 7,978 19,92 19,92 159,12096 158,92176 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-12 7,953 7,943 19,92 19,92 158,42376 158,22456 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-13 7,905 7,895 20 20 158,1 157,9 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-14 7,848 7,838 20,02 20,02 157,11696 156,91676 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-15 7,858 7,848 20 20 157,16 156,96 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-16 7,903 7,893 19,83 19,83 156,71649 156,51819 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-19 7,865 7,855 20,11 20,11 158,16515 157,96405 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-20 7,848 7,838 20 20 156,96 156,76 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-21 7,948 7,938 20,13 20,13 159,99324 159,79194 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-22 7,98 7,97 20,3 20,3 161,994 161,791 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-23 7,955 7,945 20,48 20,48 162,9184 162,7136 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-29 7,938 7,928 20,47 20,47 162,49086 162,28616 191080 Baring International Fund Managers (Ireland) Ltd Baring Global Emerging Markets Fund USD 2005-12-30 7,958 7,948 20,59 20,59 163,85522 163,64932 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-04 6,728 6,718 7,98 7,98 53,68944 53,60964 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-05 6,828 6,818 7,85 7,85 53,5998 53,5213 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-07 6,87 6,86 7,87 7,87 54,0669 53,9882 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-10 6,96091 6,95091 7,85 7,85 54,6431435 54,5646435 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-11 6,96091 6,95091 7,88 7,88 54,8519708 54,7731708 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-12 6,913 6,903 7,86 7,86 54,33618 54,25758 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-13 6,843 6,833 7,88 7,88 53,92284 53,84404 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-14 6,915 6,905 7,86 7,86 54,3519 54,2733 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-17 6,915 6,905 7,93 7,93 54,83595 54,75665 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-18 6,968 6,958 7,89 7,89 54,97752 54,89862 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-19 6,91 6,9 7,94 7,94 54,8654 54,786 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-20 6,96 6,95 7,83 7,83 54,4968 54,4185 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-21 6,978 6,968 7,79 7,79 54,35862 54,28072 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-24 6,933 6,923 7,8 7,8 54,0774 53,9994 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-25 6,95 6,94 7,8 7,8 54,21 54,132 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-26 6,995 6,985 7,83 7,83 54,77085 54,69255 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-27 6,93 6,92 7,84 7,84 54,3312 54,2528 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-28 6,985 6,975 7,84 7,84 54,7624 54,684 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-01-31 6,998 6,988 7,86 7,86 55,00428 54,92568 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-01 6,993 6,983 7,78 7,78 54,40554 54,32774 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-02 6,953 6,943 7,91 7,91 54,99823 54,91913 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-03 6,968 6,958 7,91 7,91 55,11688 55,03778 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-04 7,01 7 7,87 7,87 55,1687 55,09 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-07 7,065 7,055 7,93 7,93 56,02545 55,94615 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-08 7,123 7,113 7,9 7,9 56,2717 56,1927 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-09 7,1 7,09 7,89 7,89 56,019 55,9401 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-10 7,088 7,078 7,86 7,86 55,71168 55,63308 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-11 7,068 7,058 7,91 7,91 55,90788 55,82878 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-14 7,03 7,02 7,99 7,99 56,1697 56,0898 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-15 7,005 6,995 7,98 7,98 55,8999 55,8201 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-16 6,973 6,963 7,99 7,99 55,71427 55,63437 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-17 6,97 6,96 8 8 55,76 55,68 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-18 6,965 6,955 7,99 7,99 55,65035 55,57045 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-21 6,978 6,968 7,99 7,99 55,75422 55,67432 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-22 6,905 6,895 8,01 8,01 55,30905 55,22895 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-23 6,895 6,885 7,93 7,93 54,67735 54,59805 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-24 6,858 6,848 7,98 7,98 54,72684 54,64704 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-25 6,885 6,875 8,04 8,04 55,3554 55,275 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-02-28 6,828 6,818 8,15 8,15 55,6482 55,5667 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-01 6,87 6,86 8,14 8,14 55,9218 55,8404 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-02 6,888 6,878 8,12 8,12 55,93056 55,84936 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-03 6,903 6,893 8,14 8,14 56,19042 56,10902 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-04 6,9 6,89 8,14 8,14 56,166 56,0846 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-07 6,84 6,83 8,22 8,22 56,2248 56,1426 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-08 6,825 6,815 8,22 8,22 56,1015 56,0193 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-09 6,76 6,75 8,25 8,25 55,77 55,6875 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-10 6,745 6,735 8,16 8,16 55,0392 54,9576 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-11 6,765 6,755 8,16 8,16 55,2024 55,1208 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-14 6,76 6,75 8,13 8,13 54,9588 54,8775 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-15 6,815 6,805 8,13 8,13 55,40595 55,32465 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-16 6,81 6,8 8,11 8,11 55,2291 55,148 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-18 6,828 6,818 8,08 8,08 55,17024 55,08944 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-21 6,908 6,898 8,06 8,06 55,67848 55,59788 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-22 6,928 6,918 8,01 8,01 55,49328 55,41318 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-23 6,973 6,963 7,89 7,89 55,01697 54,93807 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-24 7,008 6,998 7,85 7,85 55,0128 54,9343 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-29 7,055 7,045 7,82 7,82 55,1701 55,0919 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-30 7,053 7,043 7,75 7,75 54,66075 54,58325 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-03-31 7,065 7,055 7,84 7,84 55,3896 55,3112 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-01 7,07 7,06 7,87 7,87 55,6409 55,5622 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-04 7,113 7,103 7,82 7,82 55,62366 55,54546 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-05 7,163 7,153 7,82 7,82 56,01466 55,93646 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-06 7,125 7,115 7,87 7,87 56,07375 55,99505 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-07 7,083 7,073 7,89 7,89 55,88487 55,80597 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-08 7,153 7,143 7,92 7,92 56,65176 56,57256 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-11 7,098 7,088 7,91 7,91 56,14518 56,06608 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-12 7,048 7,038 7,91 7,91 55,74968 55,67058 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-13 7,075 7,065 7,92 7,92 56,034 55,9548 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-14 7,12 7,11 7,79 7,79 55,4648 55,3869 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-15 7,17 7,16 7,67 7,67 54,9939 54,9172 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-18 7,08 7,07 7,53 7,53 53,3124 53,2371 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-19 7,068 7,058 7,6 7,6 53,7168 53,6408 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-20 7,043 7,033 7,64 7,64 53,80852 53,73212 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-21 7,025 7,015 7,59 7,59 53,31975 53,24385 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-22 7,023 7,013 7,68 7,68 53,93664 53,85984 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-25 7,04 7,03 7,66 7,66 53,9264 53,8498 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-26 7,035 7,025 7,69 7,69 54,09915 54,02225 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-27 7,085 7,075 7,61 7,61 53,91685 53,84075 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-28 7,085 7,075 7,59 7,59 53,77515 53,69925 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-04-29 7,08 7,07 7,55 7,55 53,454 53,3785 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-03 7,178 7,168 7,6 7,6 54,5528 54,4768 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-04 7,11 7,1 7,62 7,62 54,1782 54,102 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-06 7,085 7,075 7,69 7,69 54,48365 54,40675 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-09 7,168 7,158 7,67 7,67 54,97856 54,90186 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-10 7,178 7,168 7,66 7,66 54,98348 54,90688 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-11 7,15 7,14 7,62 7,62 54,483 54,4068 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-12 7,243 7,233 7,6 7,6 55,0468 54,9708 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-13 7,265 7,255 7,51 7,51 54,56015 54,48505 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-16 7,32 7,31 7,47 7,47 54,6804 54,6057 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-17 7,313 7,303 7,48 7,48 54,70124 54,62644 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-18 7,3 7,29 7,52 7,52 54,896 54,8208 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-19 7,26 7,25 7,61 7,61 55,2486 55,1725 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-20 7,28 7,27 7,63 7,63 55,5464 55,4701 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-23 7,32 7,31 7,63 7,63 55,8516 55,7753 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-24 7,295 7,285 7,6 7,6 55,442 55,366 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-25 7,298 7,288 7,62 7,62 55,61076 55,53456 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-26 7,33 7,32 7,62 7,62 55,8546 55,7784 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-27 7,338 7,328 7,65 7,65 56,1357 56,0592 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-05-31 7,403 7,393 7,63 7,63 56,48489 56,40859 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-01 7,428 7,418 7,6 7,6 56,4528 56,3768 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-02 7,473 7,463 7,66 7,66 57,24318 57,16658 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-03 7,438 7,428 7,68 7,68 57,12384 57,04704 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-07 7,448 7,438 7,68 7,68 57,20064 57,12384 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-08 7,435 7,425 7,72 7,72 57,3982 57,321 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-09 7,523 7,513 7,68 7,68 57,77664 57,69984 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-10 7,525 7,515 7,73 7,73 58,16825 58,09095 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-13 7,643 7,633 7,68 7,68 58,69824 58,62144 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-14 7,663 7,653 7,71 7,71 59,08173 59,00463 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-15 7,693 7,683 7,73 7,73 59,46689 59,38959 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-16 7,678 7,668 7,78 7,78 59,73484 59,65704 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-17 7,643 7,633 7,83 7,83 59,84469 59,76639 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-20 7,543 7,533 7,82 7,82 58,98626 58,90806 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-21 7,648 7,638 7,81 7,81 59,73088 59,65278 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-22 7,608 7,598 7,83 7,83 59,57064 59,49234 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-23 7,73 7,72 7,84 7,84 60,6032 60,5248 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-27 7,73 7,72 7,74 7,74 59,8302 59,7528 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-28 7,76 7,75 7,73 7,73 59,9848 59,9075 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-29 7,833 7,823 7,75 7,75 60,70575 60,62825 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-06-30 7,823 7,813 7,74 7,74 60,55002 60,47262 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-01 7,858 7,848 7,72 7,72 60,66376 60,58656 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-04 7,945 7,935 7,7 7,7 61,1765 61,0995 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-05 7,963 7,953 7,69 7,69 61,23547 61,15857 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-06 7,895 7,885 7,74 7,74 61,1073 61,0299 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-07 7,878 7,868 7,69 7,69 60,58182 60,50492 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-08 7,913 7,903 7,7 7,7 60,9301 60,8531 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-11 7,89 7,88 7,7 7,7 60,753 60,676 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-12 7,77 7,76 7,87 7,87 61,1499 61,0712 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-13 7,703 7,693 7,89 7,89 60,77667 60,69777 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-14 7,76 7,75 7,9 7,9 61,304 61,225 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-15 7,76 7,75 7,9 7,9 61,304 61,225 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-18 7,78 7,77 7,88 7,88 61,3064 61,2276 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-19 7,878 7,868 7,83 7,83 61,68474 61,60644 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-20 7,818 7,808 7,89 7,89 61,68402 61,60512 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-21 7,775 7,765 7,94 7,94 61,7335 61,6541 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-22 7,758 7,748 7,93 7,93 61,52094 61,44164 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-25 7,838 7,828 7,93 7,93 62,15534 62,07604 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-26 7,818 7,808 7,91 7,91 61,84038 61,76128 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-27 7,905 7,895 7,91 7,91 62,52855 62,44945 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-28 7,848 7,838 7,98 7,98 62,62704 62,54724 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-07-29 7,748 7,738 8,01 8,01 62,06148 61,98138 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-02 7,7 7,69 8,03 8,03 61,831 61,7507 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-03 7,685 7,675 8,08 8,08 62,0948 62,014 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-04 7,618 7,608 8,08 8,08 61,55344 61,47264 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-05 7,548 7,538 8,05 8,05 60,7614 60,6809 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-08 7,558 7,548 7,99 7,99 60,38842 60,30852 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-09 7,548 7,538 8 8 60,384 60,304 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-10 7,558 7,548 8,08 8,08 61,06864 60,98784 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-11 7,523 7,513 8,15 8,15 61,31245 61,23095 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-12 7,46 7,45 8,18 8,18 61,0228 60,941 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-15 7,508 7,498 8,13 8,13 61,04004 60,95874 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-16 7,523 7,513 8,12 8,12 61,08676 61,00556 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-17 7,605 7,595 8,06 8,06 61,2963 61,2157 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-18 7,61 7,6 8,02 8,02 61,0322 60,952 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-19 7,698 7,688 8,02 8,02 61,73796 61,65776 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-22 7,69 7,68 8,07 8,07 62,0583 61,9776 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-23 7,663 7,653 8,06 8,06 61,76378 61,68318 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-24 7,673 7,663 8 8 61,384 61,304 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-25 7,588 7,578 7,96 7,96 60,40048 60,32088 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-26 7,578 7,568 7,99 7,99 60,54822 60,46832 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-30 7,633 7,623 7,93 7,93 60,52969 60,45039 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-08-31 7,668 7,658 7,91 7,91 60,65388 60,57478 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-01 7,568 7,558 8,03 8,03 60,77104 60,69074 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-02 7,435 7,425 8,08 8,08 60,0748 59,994 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-05 7,41 7,4 8,1 8,1 60,021 59,94 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-06 7,485 7,475 8,09 8,09 60,55365 60,47275 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-07 7,43 7,42 8,15 8,15 60,5545 60,473 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-08 7,498 7,488 8,15 8,15 61,1087 61,0272 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-09 7,523 7,513 8,15 8,15 61,31245 61,23095 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-12 7,555 7,545 8,21 8,21 62,02655 61,94445 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-13 7,57 7,56 8,2 8,2 62,074 61,992 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-14 7,61 7,6 8,18 8,18 62,2498 62,168 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-15 7,658 7,648 8,19 8,19 62,71902 62,63712 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-16 7,613 7,603 8,21 8,21 62,50273 62,42063 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-19 7,698 7,688 8,23 8,23 63,35454 63,27224 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-20 7,688 7,678 8,24 8,24 63,34912 63,26672 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-21 7,663 7,653 8,19 8,19 62,75997 62,67807 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-22 7,648 7,638 8,14 8,14 62,25472 62,17332 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-23 7,733 7,723 8,13 8,13 62,86929 62,78799 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-26 7,798 7,788 8,17 8,17 63,70966 63,62796 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-27 7,825 7,815 8,16 8,16 63,852 63,7704 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-28 7,81 7,8 8,19 8,19 63,9639 63,882 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-29 7,785 7,775 8,24 8,24 64,1484 64,066 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-09-30 7,785 7,775 8,26 8,26 64,3041 64,2215 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-03 7,783 7,773 8,25 8,25 64,20975 64,12725 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-04 7,82 7,81 8,25 8,25 64,515 64,4325 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-05 7,795 7,785 8,18 8,18 63,7631 63,6813 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-06 7,713 7,703 8,06 8,06 62,16678 62,08618 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-07 7,683 7,673 8,06 8,06 61,92498 61,84438 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-10 7,698 7,688 8,1 8,1 62,3538 62,2728 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-11 7,77 7,76 8,09 8,09 62,8593 62,7784 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-12 7,805 7,795 8,06 8,06 62,9083 62,8277 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-13 7,83 7,82 7,99 7,99 62,5617 62,4818 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-14 7,833 7,823 7,96 7,96 62,35068 62,27108 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-17 7,835 7,825 7,98 7,98 62,5233 62,4435 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-18 7,893 7,883 7,99 7,99 63,06507 62,98517 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-19 7,96 7,95 7,86 7,86 62,5656 62,487 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-20 7,93 7,92 7,89 7,89 62,5677 62,4888 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-21 7,883 7,873 7,85 7,85 61,88155 61,80305 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-24 7,995 7,985 7,85 7,85 62,76075 62,68225 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-25 7,99 7,98 7,96 7,96 63,6004 63,5208 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-26 7,868 7,858 7,98 7,98 62,78664 62,70684 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-27 7,868 7,858 7,97 7,97 62,70796 62,62826 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-10-28 7,825 7,815 7,9 7,9 61,8175 61,7385 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-01 7,963 7,953 8,09 8,09 64,42067 64,33977 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-02 7,98 7,97 8,1 8,1 64,638 64,557 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-03 8,01 8 8,18 8,18 65,5218 65,44 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-04 8,028 8,018 8,23 8,23 66,07044 65,98814 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-07 8,135 8,125 8,2 8,2 66,707 66,625 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-08 8,17 8,16 8,2 8,2 66,994 66,912 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-09 8,12 8,11 8,2 8,2 66,584 66,502 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-10 8,173 8,163 8,21 8,21 67,10033 67,01823 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-11 8,235 8,225 8,24 8,24 67,8564 67,774 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-14 8,133 8,123 8,24 8,24 67,01592 66,93352 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-15 8,185 8,175 8,17 8,17 66,87145 66,78975 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-16 8,21 8,2 8,14 8,14 66,8294 66,748 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-17 8,258 8,248 8,23 8,23 67,96334 67,88104 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-18 8,223 8,213 8,32 8,32 68,41536 68,33216 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-21 8,123 8,113 8,34 8,34 67,74582 67,66242 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-22 8,15 8,14 8,35 8,35 68,0525 67,969 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-23 8,048 8,038 8,42 8,42 67,76416 67,67996 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-24 8,053 8,043 8,4 8,4 67,6452 67,5612 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-25 8,078 8,068 8,42 8,42 68,01676 67,93256 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-28 8,118 8,108 8,45 8,45 68,5971 68,5126 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-29 8,015 8,005 8,4 8,4 67,326 67,242 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-11-30 8,088 8,078 8,39 8,39 67,85832 67,77442 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-01 8,083 8,073 8,39 8,39 67,81637 67,73247 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-02 8,103 8,093 8,49 8,49 68,79447 68,70957 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-05 8,045 8,035 8,54 8,54 68,7043 68,6189 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-06 7,993 7,983 8,54 8,54 68,26022 68,17482 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-07 8,015 8,005 8,56 8,56 68,6084 68,5228 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-08 7,988 7,978 8,48 8,48 67,73824 67,65344 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-12 7,953 7,943 8,56 8,56 68,07768 67,99208 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-13 7,905 7,895 8,57 8,57 67,74585 67,66015 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-14 7,848 7,838 8,6 8,6 67,4928 67,4068 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-15 7,858 7,848 8,61 8,61 67,65738 67,57128 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-16 7,903 7,893 8,6 8,6 67,9658 67,8798 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-19 7,865 7,855 8,6 8,6 67,639 67,553 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-20 7,848 7,838 8,58 8,58 67,33584 67,25004 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-21 7,948 7,938 8,59 8,59 68,27332 68,18742 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-22 7,98 7,97 8,6 8,6 68,628 68,542 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-23 7,955 7,945 8,64 8,64 68,7312 68,6448 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-29 7,938 7,928 8,63 8,63 68,50494 68,41864 226910 Baring International Fund Managers (Ireland) Ltd Baring Global Equity Fund USD 2005-12-30 7,958 7,948 8,61 8,61 68,51838 68,43228 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-04 6,728 6,718 15,38 15,38 103,47664 103,32284 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-05 6,828 6,818 15,03 15,03 102,62484 102,47454 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-07 6,87 6,86 15,02 15,02 103,1874 103,0372 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-10 6,96091 6,95091 14,96 14,96 104,1352136 103,9856136 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-11 6,96091 6,95091 15,07 15,07 104,9009137 104,7502137 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-12 6,913 6,903 15,04 15,04 103,97152 103,82112 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-13 6,843 6,833 15,3 15,3 104,6979 104,5449 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-14 6,915 6,905 15,36 15,36 106,2144 106,0608 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-17 6,915 6,905 15,53 15,53 107,38995 107,23465 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-18 6,968 6,958 15,51 15,51 108,07368 107,91858 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-19 6,91 6,9 15,61 15,61 107,8651 107,709 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-20 6,96 6,95 15,46 15,46 107,6016 107,447 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-21 6,978 6,968 15,41 15,41 107,53098 107,37688 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-24 6,933 6,923 15,67 15,67 108,64011 108,48341 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-25 6,95 6,94 15,67 15,67 108,9065 108,7498 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-26 6,995 6,985 15,66 15,66 109,5417 109,3851 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-27 6,93 6,92 15,77 15,77 109,2861 109,1284 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-28 6,985 6,975 15,79 15,79 110,29315 110,13525 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-01-31 6,998 6,988 15,7 15,7 109,8686 109,7116 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-01 6,993 6,983 15,81 15,81 110,55933 110,40123 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-02 6,953 6,943 16,08 16,08 111,80424 111,64344 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-03 6,968 6,958 16,25 16,25 113,23 113,0675 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-04 7,01 7 16,25 16,25 113,9125 113,75 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-07 7,065 7,055 16,14 16,14 114,0291 113,8677 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-08 7,123 7,113 16,08 16,08 114,53784 114,37704 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-09 7,1 7,09 16,13 16,13 114,523 114,3617 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-10 7,088 7,078 16,15 16,15 114,4712 114,3097 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-11 7,068 7,058 16,56 16,56 117,04608 116,88048 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-14 7,03 7,02 16,89 16,89 118,7367 118,5678 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-15 7,005 6,995 16,94 16,94 118,6647 118,4953 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-16 6,973 6,963 16,88 16,88 117,70424 117,53544 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-17 6,97 6,96 17,33 17,33 120,7901 120,6168 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-18 6,965 6,955 17,26 17,26 120,2159 120,0433 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-21 6,978 6,968 17,49 17,49 122,04522 121,87032 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-22 6,905 6,895 17,53 17,53 121,04465 120,86935 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-23 6,895 6,885 17,62 17,62 121,4899 121,3137 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-24 6,858 6,848 17,74 17,74 121,66092 121,48352 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-25 6,885 6,875 18,03 18,03 124,13655 123,95625 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-02-28 6,828 6,818 18,41 18,41 125,70348 125,51938 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-01 6,87 6,86 18,23 18,23 125,2401 125,0578 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-02 6,888 6,878 17,77 17,77 122,39976 122,22206 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-03 6,903 6,893 17,87 17,87 123,35661 123,17791 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-04 6,9 6,89 18 18 124,2 124,02 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-07 6,84 6,83 18,4 18,4 125,856 125,672 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-08 6,825 6,815 18,42 18,42 125,7165 125,5323 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-09 6,76 6,75 18,48 18,48 124,9248 124,74 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-10 6,745 6,735 18,16 18,16 122,4892 122,3076 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-11 6,765 6,755 17,69 17,69 119,67285 119,49595 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-14 6,76 6,75 17,76 17,76 120,0576 119,88 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-15 6,815 6,805 17,74 17,74 120,8981 120,7207 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-16 6,81 6,8 17,67 17,67 120,3327 120,156 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-18 6,828 6,818 18,08 18,08 123,45024 123,26944 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-21 6,908 6,898 17,89 17,89 123,58412 123,40522 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-22 6,928 6,918 17,79 17,79 123,24912 123,07122 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-23 6,973 6,963 17,49 17,49 121,95777 121,78287 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-24 7,008 6,998 17,06 17,06 119,55648 119,38588 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-29 7,055 7,045 16,95 16,95 119,58225 119,41275 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-30 7,053 7,043 16,67 16,67 117,57351 117,40681 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-03-31 7,065 7,055 16,92 16,92 119,5398 119,3706 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-01 7,07 7,06 17,39 17,39 122,9473 122,7734 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-04 7,113 7,103 17,71 17,71 125,97123 125,79413 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-05 7,163 7,153 17,74 17,74 127,07162 126,89422 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-06 7,125 7,115 17,57 17,57 125,18625 125,01055 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-07 7,083 7,073 17,88 17,88 126,64404 126,46524 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-08 7,153 7,143 17,78 17,78 127,18034 127,00254 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-11 7,098 7,088 17,64 17,64 125,20872 125,03232 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-12 7,048 7,038 17,62 17,62 124,18576 124,00956 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-13 7,075 7,065 17,35 17,35 122,75125 122,57775 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-14 7,12 7,11 16,65 16,65 118,548 118,3815 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-15 7,17 7,16 16,36 16,36 117,3012 117,1376 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-18 7,08 7,07 15,91 15,91 112,6428 112,4837 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-19 7,068 7,058 16,19 16,19 114,43092 114,26902 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-20 7,043 7,033 16,63 16,63 117,12509 116,95879 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-21 7,025 7,015 16,5 16,5 115,9125 115,7475 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-22 7,023 7,013 16,77 16,77 117,77571 117,60801 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-25 7,04 7,03 16,72 16,72 117,7088 117,5416 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-26 7,035 7,025 16,84 16,84 118,4694 118,301 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-27 7,085 7,075 16,72 16,72 118,4612 118,294 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-28 7,085 7,075 16,23 16,23 114,98955 114,82725 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-04-29 7,08 7,07 15,93 15,93 112,7844 112,6251 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-03 7,178 7,168 16 16 114,848 114,688 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-04 7,11 7,1 15,75 15,75 111,9825 111,825 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-06 7,085 7,075 16,08 16,08 113,9268 113,766 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-09 7,168 7,158 16,2 16,2 116,1216 115,9596 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-10 7,178 7,168 16,27 16,27 116,78606 116,62336 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-11 7,15 7,14 16,07 16,07 114,9005 114,7398 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-12 7,243 7,233 15,92 15,92 115,30856 115,14936 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-13 7,265 7,255 15,31 15,31 111,22715 111,07405 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-16 7,32 7,31 14,95 14,95 109,434 109,2845 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-17 7,313 7,303 14,92 14,92 109,10996 108,96076 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-18 7,3 7,29 15,24 15,24 111,252 111,0996 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-19 7,26 7,25 15,39 15,39 111,7314 111,5775 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-20 7,28 7,27 15,45 15,45 112,476 112,3215 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-23 7,32 7,31 15,39 15,39 112,6548 112,5009 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-24 7,295 7,285 15,52 15,52 113,2184 113,0632 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-25 7,298 7,288 15,57 15,57 113,62986 113,47416 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-26 7,33 7,32 15,66 15,66 114,7878 114,6312 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-27 7,338 7,328 15,83 15,83 116,16054 116,00224 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-05-31 7,403 7,393 16,07 16,07 118,96621 118,80551 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-01 7,428 7,418 15,99 15,99 118,77372 118,61382 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-02 7,473 7,463 16,27 16,27 121,58571 121,42301 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-03 7,438 7,428 16,4 16,4 121,9832 121,8192 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-07 7,448 7,438 16,56 16,56 123,33888 123,17328 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-08 7,435 7,425 16,41 16,41 122,00835 121,84425 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-09 7,523 7,513 16,41 16,41 123,45243 123,28833 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-10 7,525 7,515 16,69 16,69 125,59225 125,42535 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-13 7,643 7,633 16,7 16,7 127,6381 127,4711 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-14 7,663 7,653 16,85 16,85 129,12155 128,95305 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-15 7,693 7,683 16,94 16,94 130,31942 130,15002 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-16 7,678 7,668 17,22 17,22 132,21516 132,04296 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-17 7,643 7,633 17,51 17,51 133,82893 133,65383 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-20 7,543 7,533 17,77 17,77 134,03911 133,86141 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-21 7,648 7,638 17,72 17,72 135,52256 135,34536 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-22 7,608 7,598 17,49 17,49 133,06392 132,88902 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-23 7,73 7,72 17,56 17,56 135,7388 135,5632 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-27 7,73 7,72 17,41 17,41 134,5793 134,4052 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-28 7,76 7,75 17,65 17,65 136,964 136,7875 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-29 7,833 7,823 17,55 17,55 137,46915 137,29365 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-06-30 7,823 7,813 17,52 17,52 137,05896 136,88376 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-01 7,858 7,848 17,46 17,46 137,20068 137,02608 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-04 7,945 7,935 17,58 17,58 139,6731 139,4973 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-05 7,963 7,953 17,6 17,6 140,1488 139,9728 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-06 7,895 7,885 17,93 17,93 141,55735 141,37805 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-07 7,878 7,868 17,6 17,6 138,6528 138,4768 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-08 7,913 7,903 17,8 17,8 140,8514 140,6734 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-11 7,89 7,88 17,91 17,91 141,3099 141,1308 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-12 7,77 7,76 18,02 18,02 140,0154 139,8352 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-13 7,703 7,693 18,11 18,11 139,50133 139,32023 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-14 7,76 7,75 17,94 17,94 139,2144 139,035 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-15 7,76 7,75 17,63 17,63 136,8088 136,6325 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-18 7,78 7,77 17,55 17,55 136,539 136,3635 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-19 7,878 7,868 17,43 17,43 137,31354 137,13924 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-20 7,818 7,808 17,74 17,74 138,69132 138,51392 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-21 7,775 7,765 17,95 17,95 139,56125 139,38175 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-22 7,758 7,748 17,97 17,97 139,41126 139,23156 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-25 7,838 7,828 18,16 18,16 142,33808 142,15648 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-26 7,818 7,808 17,95 17,95 140,3331 140,1536 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-27 7,905 7,895 17,94 17,94 141,8157 141,6363 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-28 7,848 7,838 18,01 18,01 141,34248 141,16238 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-07-29 7,748 7,738 18,28 18,28 141,63344 141,45064 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-02 7,7 7,69 18,56 18,56 142,912 142,7264 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-03 7,685 7,675 18,94 18,94 145,5539 145,3645 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-04 7,618 7,608 19 19 144,742 144,552 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-05 7,548 7,538 18,9 18,9 142,6572 142,4682 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-08 7,558 7,548 18,8 18,8 142,0904 141,9024 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-09 7,548 7,538 19,03 19,03 143,63844 143,44814 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-10 7,558 7,548 19,09 19,09 144,28222 144,09132 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-11 7,523 7,513 19,36 19,36 145,64528 145,45168 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-12 7,46 7,45 19,39 19,39 144,6494 144,4555 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-15 7,508 7,498 19,4 19,4 145,6552 145,4612 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-16 7,523 7,513 19,3 19,3 145,1939 145,0009 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-17 7,605 7,595 18,98 18,98 144,3429 144,1531 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-18 7,61 7,6 18,52 18,52 140,9372 140,752 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-19 7,698 7,688 18,31 18,31 140,95038 140,76728 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-22 7,69 7,68 18,54 18,54 142,5726 142,3872 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-23 7,663 7,653 18,72 18,72 143,45136 143,26416 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-24 7,673 7,663 18,57 18,57 142,48761 142,30191 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-25 7,588 7,578 18,43 18,43 139,84684 139,66254 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-26 7,578 7,568 18,67 18,67 141,48126 141,29456 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-30 7,633 7,623 18,67 18,67 142,50811 142,32141 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-08-31 7,668 7,658 19,04 19,04 145,99872 145,80832 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-01 7,568 7,558 19,67 19,67 148,86256 148,66586 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-02 7,435 7,425 20,13 20,13 149,66655 149,46525 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-05 7,41 7,4 19,95 19,95 147,8295 147,63 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-06 7,485 7,475 19,93 19,93 149,17605 148,97675 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-07 7,43 7,42 19,87 19,87 147,6341 147,4354 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-08 7,498 7,488 19,92 19,92 149,36016 149,16096 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-09 7,523 7,513 19,96 19,96 150,15908 149,95948 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-12 7,555 7,545 20,35 20,35 153,74425 153,54075 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-13 7,57 7,56 20,01 20,01 151,4757 151,2756 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-14 7,61 7,6 19,81 19,81 150,7541 150,556 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-15 7,658 7,648 19,98 19,98 153,00684 152,80704 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-16 7,613 7,603 20,13 20,13 153,24969 153,04839 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-19 7,698 7,688 20,33 20,33 156,50034 156,29704 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-20 7,688 7,678 20,84 20,84 160,21792 160,00952 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-21 7,663 7,653 20,68 20,68 158,47084 158,26404 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-22 7,648 7,638 21,23 21,23 162,36704 162,15474 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-23 7,733 7,723 20,89 20,89 161,54237 161,33347 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-26 7,798 7,788 20,7 20,7 161,4186 161,2116 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-27 7,825 7,815 21,04 21,04 164,638 164,4276 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-28 7,81 7,8 21,12 21,12 164,9472 164,736 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-29 7,785 7,775 21,51 21,51 167,45535 167,24025 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-09-30 7,785 7,775 21,59 21,59 168,07815 167,86225 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-03 7,783 7,773 21,39 21,39 166,47837 166,26447 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-04 7,82 7,81 21,56 21,56 168,5992 168,3836 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-05 7,795 7,785 21,01 21,01 163,77295 163,56285 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-06 7,713 7,703 19,94 19,94 153,79722 153,59782 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-07 7,683 7,673 19,28 19,28 148,12824 147,93544 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-10 7,698 7,688 19,87 19,87 152,95926 152,76056 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-11 7,77 7,76 19,96 19,96 155,0892 154,8896 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-12 7,805 7,795 20,34 20,34 158,7537 158,5503 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-13 7,83 7,82 19,65 19,65 153,8595 153,663 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-14 7,833 7,823 19,12 19,12 149,76696 149,57576 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-17 7,835 7,825 19,34 19,34 151,5289 151,3355 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-18 7,893 7,883 19,75 19,75 155,88675 155,68925 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-19 7,96 7,95 18,99 18,99 151,1604 150,9705 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-20 7,93 7,92 19,19 19,19 152,1767 151,9848 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-21 7,883 7,873 18,46 18,46 145,52018 145,33558 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-24 7,995 7,985 18,79 18,79 150,22605 150,03815 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-25 7,99 7,98 19,29 19,29 154,1271 153,9342 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-26 7,868 7,858 19,54 19,54 153,74072 153,54532 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-27 7,868 7,858 19,39 19,39 152,56052 152,36662 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-10-28 7,825 7,815 18,92 18,92 148,049 147,8598 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-01 7,963 7,953 19,51 19,51 155,35813 155,16303 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-02 7,98 7,97 19,66 19,66 156,8868 156,6902 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-03 8,01 8 20,12 20,12 161,1612 160,96 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-04 8,028 8,018 20,34 20,34 163,28952 163,08612 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-07 8,135 8,125 19,93 19,93 162,13055 161,93125 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-08 8,17 8,16 19,65 19,65 160,5405 160,344 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-09 8,12 8,11 19,8 19,8 160,776 160,578 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-10 8,173 8,163 19,62 19,62 160,35426 160,15806 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-11 8,235 8,225 19,11 19,11 157,37085 157,17975 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-14 8,133 8,123 19,36 19,36 157,45488 157,26128 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-15 8,185 8,175 19,22 19,22 157,3157 157,1235 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-16 8,21 8,2 19,09 19,09 156,7289 156,538 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-17 8,258 8,248 19,62 19,62 162,02196 161,82576 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-18 8,223 8,213 19,79 19,79 162,73317 162,53527 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-21 8,123 8,113 19,82 19,82 160,99786 160,79966 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-22 8,15 8,14 20,02 20,02 163,163 162,9628 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-23 8,048 8,038 20,27 20,27 163,13296 162,93026 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-24 8,053 8,043 20,22 20,22 162,83166 162,62946 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-25 8,078 8,068 20,25 20,25 163,5795 163,377 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-28 8,118 8,108 20,45 20,45 166,0131 165,8086 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-29 8,015 8,005 20,05 20,05 160,70075 160,50025 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-11-30 8,088 8,078 20,14 20,14 162,89232 162,69092 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-01 8,083 8,073 20,23 20,23 163,51909 163,31679 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-02 8,103 8,093 20,88 20,88 169,19064 168,98184 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-05 8,045 8,035 20,94 20,94 168,4623 168,2529 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-06 7,993 7,983 21 21 167,853 167,643 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-07 8,015 8,005 21,26 21,26 170,3989 170,1863 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-08 7,988 7,978 21,23 21,23 169,58524 169,37294 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-12 7,953 7,943 21,52 21,52 171,14856 170,93336 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-13 7,905 7,895 21,55 21,55 170,35275 170,13725 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-14 7,848 7,838 21,71 21,71 170,38008 170,16298 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-15 7,858 7,848 21,52 21,52 169,10416 168,88896 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-16 7,903 7,893 21,47 21,47 169,67741 169,46271 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-19 7,865 7,855 21,31 21,31 167,60315 167,39005 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-20 7,848 7,838 21,26 21,26 166,84848 166,63588 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-21 7,948 7,938 21,3 21,3 169,2924 169,0794 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-22 7,98 7,97 21,53 21,53 171,8094 171,5941 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-23 7,955 7,945 21,72 21,72 172,7826 172,5654 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-29 7,938 7,928 21,77 21,77 172,81026 172,59256 262741 Baring International Fund Managers (Ireland) Ltd Baring Global Resources Fund USD 2005-12-30 7,958 7,948 21,78 21,78 173,32524 173,10744 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-04 9,0345 9,0295 12,04 12,04 108,77538 108,71518 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-05 9,0615 9,0565 12,03 12,03 109,009845 108,949695 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-07 9,0615 9,0565 12,01 12,01 108,828615 108,768565 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-10 9,08619 9,08119 12,03 12,03 109,3068657 109,2467157 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-11 9,08619 9,08119 12,02 12,02 109,2160038 109,1559038 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-12 9,0455 9,0405 12,02 12,02 108,72691 108,66681 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-13 9,0505 9,0455 12,03 12,03 108,877515 108,817365 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-14 9,0455 9,0405 12,05 12,05 108,998275 108,938025 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-17 9,0685 9,0635 12,05 12,05 109,275425 109,215175 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-18 9,0585 9,0535 12,05 12,05 109,154925 109,094675 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-19 9,0225 9,0175 12,05 12,05 108,721125 108,660875 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-20 9,0315 9,0265 12,05 12,05 108,829575 108,769325 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-21 9,0505 9,0455 12,04 12,04 108,96802 108,90782 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-24 9,0655 9,0605 12,05 12,05 109,239275 109,179025 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-25 9,0715 9,0665 12,06 12,06 109,40229 109,34199 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-26 9,0885 9,0835 12,07 12,07 109,698195 109,637845 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-27 9,0675 9,0625 12,07 12,07 109,444725 109,384375 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-28 9,0955 9,0905 12,07 12,07 109,782685 109,722335 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-01-31 9,1075 9,1025 12,07 12,07 109,927525 109,867175 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-01 9,1035 9,0985 12,07 12,07 109,879245 109,818895 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-02 9,0905 9,0855 12,07 12,07 109,722335 109,661985 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-03 9,0695 9,0645 12,07 12,07 109,468865 109,408515 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-04 9,0895 9,0845 12,08 12,08 109,80116 109,74076 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-07 9,0755 9,0705 12,06 12,06 109,45053 109,39023 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-08 9,0895 9,0845 12,11 12,11 110,073845 110,013295 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-09 9,0695 9,0645 12,11 12,11 109,831645 109,771095 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-10 9,0805 9,0755 12,12 12,12 110,05566 109,99506 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-11 9,0935 9,0885 12,12 12,12 110,21322 110,15262 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-14 9,1105 9,1055 12,13 12,13 110,510365 110,449715 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-15 9,0765 9,0715 12,13 12,13 110,097945 110,037295 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-16 9,0705 9,0655 12,13 12,13 110,025165 109,964515 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-17 9,0925 9,0875 12,13 12,13 110,292025 110,231375 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-18 9,0945 9,0895 12,14 12,14 110,40723 110,34653 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-21 9,1185 9,1135 12,13 12,13 110,607405 110,546755 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-22 9,0975 9,0925 12,13 12,13 110,352675 110,292025 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-23 9,1045 9,0995 12,12 12,12 110,34654 110,28594 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-24 9,0715 9,0665 12,13 12,13 110,037295 109,976645 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-25 9,0845 9,0795 12,12 12,12 110,10414 110,04354 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-02-28 9,0505 9,0455 12,14 12,14 109,87307 109,81237 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-01 9,0565 9,0515 12,14 12,14 109,94591 109,88521 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-02 9,0645 9,0595 12,14 12,14 110,04303 109,98233 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-03 9,0675 9,0625 12,15 12,15 110,170125 110,109375 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-04 9,0415 9,0365 12,15 12,15 109,854225 109,793475 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-07 9,0425 9,0375 12,16 12,16 109,9568 109,896 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-08 9,0345 9,0295 12,17 12,17 109,949865 109,889015 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-09 9,0365 9,0315 12,17 12,17 109,974205 109,913355 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-10 9,0655 9,0605 12,15 12,15 110,145825 110,085075 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-11 9,0795 9,0745 12,13 12,13 110,134335 110,073685 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-14 9,0695 9,0645 12,11 12,11 109,831645 109,771095 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-15 9,1035 9,0985 12,09 12,09 110,061315 110,000865 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-16 9,0975 9,0925 12,07 12,07 109,806825 109,746475 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-18 9,1035 9,0985 12,05 12,05 109,697175 109,636925 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-21 9,1265 9,1215 12,05 12,05 109,974325 109,914075 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-22 9,1265 9,1215 12,03 12,03 109,791795 109,731645 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-23 9,1165 9,1115 11,99 11,99 109,306835 109,246885 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-24 9,1135 9,1085 11,96 11,96 108,99746 108,93766 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-29 9,1315 9,1265 11,93 11,93 108,938795 108,879145 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-30 9,1425 9,1375 11,94 11,94 109,16145 109,10175 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-03-31 9,1405 9,1355 11,95 11,95 109,228975 109,169225 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-01 9,1645 9,1595 11,94 11,94 109,42413 109,36443 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-04 9,1695 9,1645 11,96 11,96 109,66722 109,60742 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-05 9,1745 9,1695 11,93 11,93 109,451785 109,392135 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-06 9,1705 9,1655 11,93 11,93 109,404065 109,344415 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-07 9,1505 9,1455 11,95 11,95 109,348475 109,288725 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-08 9,1625 9,1575 11,95 11,95 109,491875 109,432125 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-11 9,1705 9,1655 11,98 11,98 109,86259 109,80269 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-12 9,1525 9,1475 11,99 11,99 109,738475 109,678525 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-13 9,1495 9,1445 12 12 109,794 109,734 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-14 9,1685 9,1635 11,99 11,99 109,930315 109,870365 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-15 9,1925 9,1875 11,95 11,95 109,850375 109,790625 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-18 9,1805 9,1755 11,94 11,94 109,61517 109,55547 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-19 9,2035 9,1985 11,92 11,92 109,70572 109,64612 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-20 9,1915 9,1865 11,96 11,96 109,93034 109,87054 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-21 9,1855 9,1805 11,98 11,98 110,04229 109,98239 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-22 9,1625 9,1575 11,98 11,98 109,76675 109,70685 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-25 9,1685 9,1635 11,99 11,99 109,930315 109,870365 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-26 9,1375 9,1325 12,01 12,01 109,741375 109,681325 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-27 9,1465 9,1415 11,99 11,99 109,666535 109,606585 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-28 9,1505 9,1455 11,98 11,98 109,62299 109,56309 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-04-29 9,1705 9,1655 11,97 11,97 109,770885 109,711035 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-03 9,2245 9,2195 11,3 11,3 104,23685 104,18035 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-04 9,1915 9,1865 11,32 11,32 104,04778 103,99118 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-06 9,1715 9,1665 11,36 11,36 104,18824 104,13144 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-09 9,1815 9,1765 11,33 11,33 104,026395 103,969745 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-10 9,1985 9,1935 11,33 11,33 104,219005 104,162355 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-11 9,2105 9,2055 11,32 11,32 104,26286 104,20626 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-12 9,2315 9,2265 11,31 11,31 104,408265 104,351715 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-13 9,2045 9,1995 11,31 11,31 104,102895 104,046345 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-16 9,2145 9,2095 11,32 11,32 104,30814 104,25154 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-17 9,2325 9,2275 11,29 11,29 104,234925 104,178475 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-18 9,2095 9,2045 11,28 11,28 103,88316 103,82676 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-19 9,1905 9,1855 11,31 11,31 103,944555 103,888005 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-20 9,1955 9,1905 11,34 11,34 104,27697 104,22027 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-23 9,1805 9,1755 11,37 11,37 104,382285 104,325435 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-24 9,1815 9,1765 11,4 11,4 104,6691 104,6121 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-25 9,1785 9,1735 11,4 11,4 104,6349 104,5779 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-26 9,1945 9,1895 11,42 11,42 105,00119 104,94409 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-27 9,1955 9,1905 11,43 11,43 105,104565 105,047415 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-05-31 9,1665 9,1615 11,45 11,45 104,956425 104,899175 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-01 9,1455 9,1405 11,47 11,47 104,898885 104,841535 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-02 9,1565 9,1515 11,49 11,49 105,208185 105,150735 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-03 9,1315 9,1265 11,51 11,51 105,103565 105,046015 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-07 9,1455 9,1405 11,52 11,52 105,35616 105,29856 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-08 9,1455 9,1405 11,52 11,52 105,35616 105,29856 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-09 9,1965 9,1915 11,51 11,51 105,851715 105,794165 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-10 9,1975 9,1925 11,51 11,51 105,863225 105,805675 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-13 9,2365 9,2315 11,49 11,49 106,127385 106,069935 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-14 9,2985 9,2935 11,48 11,48 106,74678 106,68938 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-15 9,2695 9,2645 11,48 11,48 106,41386 106,35646 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-16 9,2695 9,2645 11,5 11,5 106,59925 106,54175 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-17 9,2695 9,2645 11,51 11,51 106,691945 106,634395 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-20 9,2255 9,2205 11,52 11,52 106,27776 106,22016 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-21 9,2725 9,2675 11,5 11,5 106,63375 106,57625 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-22 9,2615 9,2565 11,54 11,54 106,87771 106,82001 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-23 9,3535 9,3485 11,54 11,54 107,93939 107,88169 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-27 9,3855 9,3805 11,57 11,57 108,590235 108,532385 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-28 9,3995 9,3945 11,55 11,55 108,564225 108,506475 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-29 9,4215 9,4165 11,55 11,55 108,818325 108,760575 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-06-30 9,4415 9,4365 11,55 11,55 109,049325 108,991575 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-01 9,4595 9,4545 11,56 11,56 109,35182 109,29402 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-04 9,4795 9,4745 11,54 11,54 109,39343 109,33573 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-05 9,4575 9,4525 11,54 11,54 109,13955 109,08185 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-06 9,4195 9,4145 11,52 11,52 108,51264 108,45504 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-07 9,3965 9,3915 11,54 11,54 108,43561 108,37791 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-08 9,4175 9,4125 11,53 11,53 108,583775 108,526125 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-11 9,4665 9,4615 11,54 11,54 109,24341 109,18571 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-12 9,4645 9,4595 11,56 11,56 109,40962 109,35182 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-13 9,3915 9,3865 11,56 11,56 108,56574 108,50794 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-14 9,3675 9,3625 11,57 11,57 108,381975 108,324125 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-15 9,4055 9,4005 11,58 11,58 108,91569 108,85779 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-18 9,3895 9,3845 11,59 11,59 108,824305 108,766355 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-19 9,4425 9,4375 11,57 11,57 109,249725 109,191875 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-20 9,4265 9,4215 11,58 11,58 109,15887 109,10097 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-21 9,4625 9,4575 11,58 11,58 109,57575 109,51785 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-22 9,4495 9,4445 11,57 11,57 109,330715 109,272865 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-25 9,4275 9,4225 11,57 11,57 109,076175 109,018325 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-26 9,4155 9,4105 11,56 11,56 108,84318 108,78538 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-27 9,4725 9,4675 11,55 11,55 109,407375 109,349625 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-28 9,4515 9,4465 11,56 11,56 109,25934 109,20154 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-07-29 9,3885 9,3835 11,57 11,57 108,624945 108,567095 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-02 9,3995 9,3945 11,57 11,57 108,752215 108,694365 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-03 9,3755 9,3705 11,59 11,59 108,662045 108,604095 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-04 9,3735 9,3685 11,6 11,6 108,7326 108,6746 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-05 9,3355 9,3305 11,61 11,61 108,385155 108,327105 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-08 9,3335 9,3285 11,6 11,6 108,2686 108,2106 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-09 9,3455 9,3405 11,58 11,58 108,22089 108,16299 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-10 9,3535 9,3485 11,59 11,59 108,407065 108,349115 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-11 9,3365 9,3315 11,61 11,61 108,396765 108,338715 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-12 9,3025 9,2975 11,62 11,62 108,09505 108,03695 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-15 9,3065 9,3015 11,61 11,61 108,048465 107,990415 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-16 9,2995 9,2945 11,61 11,61 107,967195 107,909145 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-17 9,3405 9,3355 11,62 11,62 108,53661 108,47851 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-18 9,3365 9,3315 11,61 11,61 108,396765 108,338715 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-19 9,3395 9,3345 11,61 11,61 108,431595 108,373545 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-22 9,3655 9,3605 11,61 11,61 108,733455 108,675405 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-23 9,3715 9,3665 11,62 11,62 108,89683 108,83873 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-24 9,3365 9,3315 11,63 11,63 108,583495 108,525345 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-25 9,3335 9,3285 11,62 11,62 108,45527 108,39717 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-26 9,3415 9,3365 11,63 11,63 108,641645 108,583495 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-30 9,3285 9,3235 11,63 11,63 108,490455 108,432305 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-08-31 9,3585 9,3535 11,64 11,64 108,93294 108,87474 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-01 9,3365 9,3315 11,69 11,69 109,143685 109,085235 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-02 9,3025 9,2975 11,72 11,72 109,0253 108,9667 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-05 9,2845 9,2795 11,73 11,73 108,907185 108,848535 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-06 9,3225 9,3175 11,72 11,72 109,2597 109,2011 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-07 9,3075 9,3025 11,71 11,71 108,990825 108,932275 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-08 9,3255 9,3205 11,71 11,71 109,201605 109,143055 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-09 9,3445 9,3395 11,72 11,72 109,51754 109,45894 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-12 9,3015 9,2965 11,72 11,72 109,01358 108,95498 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-13 9,3015 9,2965 11,72 11,72 109,01358 108,95498 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-14 9,3365 9,3315 11,73 11,73 109,517145 109,458495 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-15 9,3425 9,3375 11,72 11,72 109,4941 109,4355 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-16 9,3465 9,3415 11,73 11,73 109,634445 109,575795 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-19 9,3355 9,3305 11,71 11,71 109,318705 109,260155 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-20 9,3395 9,3345 11,71 11,71 109,365545 109,306995 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-21 9,3405 9,3355 11,72 11,72 109,47066 109,41206 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-22 9,3405 9,3355 11,73 11,73 109,564065 109,505415 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-23 9,3695 9,3645 11,71 11,71 109,716845 109,658295 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-26 9,3815 9,3765 11,69 11,69 109,669735 109,611285 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-27 9,3885 9,3835 11,68 11,68 109,65768 109,59928 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-28 9,3935 9,3885 11,31 11,31 106,240485 106,183935 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-29 9,3845 9,3795 11,69 11,69 109,704805 109,646355 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-09-30 9,3435 9,3385 11,7 11,7 109,31895 109,26045 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-03 9,3025 9,2975 11,68 11,68 108,6532 108,5948 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-04 9,3185 9,3135 11,68 11,68 108,84008 108,78168 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-05 9,3105 9,3055 11,67 11,67 108,653535 108,595185 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-06 9,3015 9,2965 11,67 11,67 108,548505 108,490155 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-07 9,3385 9,3335 11,64 11,64 108,70014 108,64194 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-10 9,3465 9,3415 11,65 11,65 108,886725 108,828475 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-11 9,3395 9,3345 11,65 11,65 108,805175 108,746925 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-12 9,3375 9,3325 11,62 11,62 108,50175 108,44365 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-13 9,3815 9,3765 11,59 11,59 108,731585 108,673635 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-14 9,4135 9,4085 11,56 11,56 108,82006 108,76226 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-17 9,4575 9,4525 11,56 11,56 109,3287 109,2709 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-18 9,4625 9,4575 11,57 11,57 109,481125 109,423275 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-19 9,4605 9,4555 11,59 11,59 109,647195 109,589245 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-20 9,4935 9,4885 11,58 11,58 109,93473 109,87683 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-21 9,4915 9,4865 11,59 11,59 110,006485 109,948535 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-24 9,5455 9,5405 11,59 11,59 110,632345 110,574395 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-25 9,5465 9,5415 11,59 11,59 110,643935 110,585985 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-26 9,4975 9,4925 11,6 11,6 110,171 110,113 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-27 9,5355 9,5305 11,58 11,58 110,42109 110,36319 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-10-28 9,5135 9,5085 11,58 11,58 110,16633 110,10843 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-01 9,5495 9,5445 11,58 11,58 110,58321 110,52531 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-02 9,5855 9,5805 11,58 11,58 111,00009 110,94219 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-03 9,6515 9,6465 11,59 11,59 111,860885 111,802935 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-04 9,5875 9,5825 11,56 11,56 110,8315 110,7737 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-07 9,6075 9,6025 11,54 11,54 110,87055 110,81285 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-08 9,5685 9,5635 11,54 11,54 110,42049 110,36279 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-09 9,5575 9,5525 11,56 11,56 110,4847 110,4269 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-10 9,6105 9,6055 11,55 11,55 111,001275 110,943525 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-11 9,6365 9,6315 11,55 11,55 111,301575 111,243825 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-14 9,5505 9,5455 11,56 11,56 110,40378 110,34598 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-15 9,5805 9,5755 11,55 11,55 110,654775 110,597025 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-16 9,6235 9,6185 11,56 11,56 111,24766 111,18986 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-17 9,6355 9,6305 11,58 11,58 111,57909 111,52119 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-18 9,6085 9,6035 11,58 11,58 111,26643 111,20853 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-21 9,5915 9,5865 11,6 11,6 111,2614 111,2034 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-22 9,5585 9,5535 11,6 11,6 110,8786 110,8206 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-23 9,5155 9,5105 11,61 11,61 110,474955 110,416905 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-24 9,5125 9,5075 11,62 11,62 110,53525 110,47715 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-25 9,4965 9,4915 11,63 11,63 110,444295 110,386145 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-28 9,4835 9,4785 11,63 11,63 110,293105 110,234955 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-29 9,4785 9,4735 11,65 11,65 110,424525 110,366275 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-11-30 9,5295 9,5245 11,64 11,64 110,92338 110,86518 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-01 9,5165 9,5115 11,63 11,63 110,676895 110,618745 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-02 9,4905 9,4855 11,62 11,62 110,27961 110,22151 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-05 9,4065 9,4015 11,63 11,63 109,397595 109,339445 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-06 9,4185 9,4135 11,63 11,63 109,537155 109,479005 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-07 9,4255 9,4205 11,63 11,63 109,618565 109,560415 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-08 9,3965 9,3915 11,64 11,64 109,37526 109,31706 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-12 9,4315 9,4265 11,65 11,65 109,876975 109,818725 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-13 9,4295 9,4245 11,65 11,65 109,853675 109,795425 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-14 9,4365 9,4315 11,67 11,67 110,123955 110,065605 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-15 9,4345 9,4295 11,69 11,69 110,289305 110,230855 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-16 9,4765 9,4715 11,68 11,68 110,68552 110,62712 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-19 9,4535 9,4485 11,68 11,68 110,41688 110,35848 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-20 9,4015 9,3965 11,68 11,68 109,80952 109,75112 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-21 9,4485 9,4435 11,68 11,68 110,35848 110,30008 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-22 9,4365 9,4315 11,68 11,68 110,21832 110,15992 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-23 9,4425 9,4375 11,69 11,69 110,382825 110,324375 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-29 9,4115 9,4065 11,7 11,7 110,11455 110,05605 753384 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund Euro Hedged (EUR) EUR 2005-12-30 9,4325 9,4275 11,71 11,71 110,454575 110,396025 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-04 6,728 6,718 11,49 11,49 77,30472 77,18982 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-05 6,828 6,818 11,48 11,48 78,38544 78,27064 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-07 6,87 6,86 11,46 11,46 78,7302 78,6156 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-10 6,96091 6,95091 11,47 11,47 79,8416377 79,7269377 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-11 6,96091 6,95091 11,46 11,46 79,7720286 79,6574286 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-12 6,913 6,903 11,47 11,47 79,29211 79,17741 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-13 6,843 6,833 11,48 11,48 78,55764 78,44284 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-14 6,915 6,905 11,49 11,49 79,45335 79,33845 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-17 6,915 6,905 11,5 11,5 79,5225 79,4075 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-18 6,968 6,958 11,5 11,5 80,132 80,017 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-19 6,91 6,9 11,49 11,49 79,3959 79,281 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-20 6,96 6,95 11,49 11,49 79,9704 79,8555 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-21 6,978 6,968 11,49 11,49 80,17722 80,06232 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-24 6,933 6,923 11,5 11,5 79,7295 79,6145 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-25 6,95 6,94 11,51 11,51 79,9945 79,8794 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-26 6,995 6,985 11,51 11,51 80,51245 80,39735 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-27 6,93 6,92 11,52 11,52 79,8336 79,7184 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-28 6,985 6,975 11,52 11,52 80,4672 80,352 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-01-31 6,998 6,988 11,52 11,52 80,61696 80,50176 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-01 6,993 6,983 11,34 11,34 79,30062 79,18722 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-02 6,953 6,943 11,33 11,33 78,77749 78,66419 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-03 6,968 6,958 11,33 11,33 78,94744 78,83414 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-04 7,01 7 11,34 11,34 79,4934 79,38 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-07 7,065 7,055 11,35 11,35 80,18775 80,07425 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-08 7,123 7,113 11,37 11,37 80,98851 80,87481 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-09 7,1 7,09 11,37 11,37 80,727 80,6133 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-10 7,088 7,078 11,38 11,38 80,66144 80,54764 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-11 7,068 7,058 11,38 11,38 80,43384 80,32004 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-14 7,03 7,02 11,39 11,39 80,0717 79,9578 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-15 7,005 6,995 11,39 11,39 79,78695 79,67305 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-16 6,973 6,963 11,39 11,39 79,42247 79,30857 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-17 6,97 6,96 11,39 11,39 79,3883 79,2744 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-18 6,965 6,955 11,4 11,4 79,401 79,287 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-21 6,978 6,968 11,39 11,39 79,47942 79,36552 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-22 6,905 6,895 11,4 11,4 78,717 78,603 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-23 6,895 6,885 11,38 11,38 78,4651 78,3513 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-24 6,858 6,848 11,39 11,39 78,11262 77,99872 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-25 6,885 6,875 11,38 11,38 78,3513 78,2375 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-02-28 6,828 6,818 11,4 11,4 77,8392 77,7252 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-01 6,87 6,86 11,4 11,4 78,318 78,204 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-02 6,888 6,878 11,4 11,4 78,5232 78,4092 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-03 6,903 6,893 11,41 11,41 78,76323 78,64913 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-04 6,9 6,89 11,41 11,41 78,729 78,6149 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-07 6,84 6,83 11,42 11,42 78,1128 77,9986 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-08 6,825 6,815 11,43 11,43 78,00975 77,89545 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-09 6,76 6,75 11,43 11,43 77,2668 77,1525 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-10 6,745 6,735 11,41 11,41 76,96045 76,84635 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-11 6,765 6,755 11,39 11,39 77,05335 76,93945 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-14 6,76 6,75 11,38 11,38 76,9288 76,815 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-15 6,815 6,805 11,36 11,36 77,4184 77,3048 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-16 6,81 6,8 11,34 11,34 77,2254 77,112 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-18 6,828 6,818 11,32 11,32 77,29296 77,17976 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-21 6,908 6,898 11,31 11,31 78,12948 78,01638 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-22 6,928 6,918 11,3 11,3 78,2864 78,1734 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-23 6,973 6,963 11,26 11,26 78,51598 78,40338 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-24 7,008 6,998 11,23 11,23 78,69984 78,58754 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-29 7,055 7,045 11,21 11,21 79,08655 78,97445 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-30 7,053 7,043 11,21 11,21 79,06413 78,95203 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-03-31 7,065 7,055 11,23 11,23 79,33995 79,22765 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-01 7,07 7,06 11,22 11,22 79,3254 79,2132 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-04 7,113 7,103 11,23 11,23 79,87899 79,76669 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-05 7,163 7,153 11,21 11,21 80,29723 80,18513 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-06 7,125 7,115 11,2 11,2 79,8 79,688 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-07 7,083 7,073 11,23 11,23 79,54209 79,42979 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-08 7,153 7,143 11,23 11,23 80,32819 80,21589 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-11 7,098 7,088 11,25 11,25 79,8525 79,74 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-12 7,048 7,038 11,26 11,26 79,36048 79,24788 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-13 7,075 7,065 11,27 11,27 79,73525 79,62255 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-14 7,12 7,11 11,27 11,27 80,2424 80,1297 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-15 7,17 7,16 11,23 11,23 80,5191 80,4068 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-18 7,08 7,07 11,22 11,22 79,4376 79,3254 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-19 7,068 7,058 11,2 11,2 79,1616 79,0496 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-20 7,043 7,033 11,24 11,24 79,16332 79,05092 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-21 7,025 7,015 11,26 11,26 79,1015 78,9889 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-22 7,023 7,013 11,25 11,25 79,00875 78,89625 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-25 7,04 7,03 11,27 11,27 79,3408 79,2281 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-26 7,035 7,025 11,29 11,29 79,42515 79,31225 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-27 7,085 7,075 11,27 11,27 79,84795 79,73525 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-28 7,085 7,075 11,26 11,26 79,7771 79,6645 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-04-29 7,08 7,07 11,25 11,25 79,65 79,5375 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-03 7,178 7,168 11,09 11,09 79,60402 79,49312 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-04 7,11 7,1 11,11 11,11 78,9921 78,881 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-06 7,085 7,075 11,15 11,15 78,99775 78,88625 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-09 7,168 7,158 11,12 11,12 79,70816 79,59696 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-10 7,178 7,168 11,12 11,12 79,81936 79,70816 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-11 7,15 7,14 11,12 11,12 79,508 79,3968 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-12 7,243 7,233 11,11 11,11 80,46973 80,35863 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-13 7,265 7,255 11,11 11,11 80,71415 80,60305 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-16 7,32 7,31 11,12 11,12 81,3984 81,2872 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-17 7,313 7,303 11,09 11,09 81,10117 80,99027 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-18 7,3 7,29 11,09 11,09 80,957 80,8461 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-19 7,26 7,25 11,11 11,11 80,6586 80,5475 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-20 7,28 7,27 11,13 11,13 81,0264 80,9151 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-23 7,32 7,31 11,17 11,17 81,7644 81,6527 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-24 7,295 7,285 11,19 11,19 81,63105 81,51915 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-25 7,298 7,288 11,2 11,2 81,7376 81,6256 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-26 7,33 7,32 11,21 11,21 82,1693 82,0572 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-27 7,338 7,328 11,22 11,22 82,33236 82,22016 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-05-31 7,403 7,393 11,25 11,25 83,28375 83,17125 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-01 7,428 7,418 11,26 11,26 83,63928 83,52668 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-02 7,473 7,463 11,28 11,28 84,29544 84,18264 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-03 7,438 7,428 11,3 11,3 84,0494 83,9364 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-07 7,448 7,438 11,31 11,31 84,23688 84,12378 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-08 7,435 7,425 11,32 11,32 84,1642 84,051 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-09 7,523 7,513 11,31 11,31 85,08513 84,97203 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-10 7,525 7,515 11,3 11,3 85,0325 84,9195 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-13 7,643 7,633 11,28 11,28 86,21304 86,10024 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-14 7,663 7,653 11,28 11,28 86,43864 86,32584 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-15 7,693 7,683 11,28 11,28 86,77704 86,66424 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-16 7,678 7,668 11,3 11,3 86,7614 86,6484 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-17 7,643 7,633 11,31 11,31 86,44233 86,32923 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-20 7,543 7,533 11,32 11,32 85,38676 85,27356 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-21 7,648 7,638 11,29 11,29 86,34592 86,23302 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-22 7,608 7,598 11,33 11,33 86,19864 86,08534 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-23 7,73 7,72 11,34 11,34 87,6582 87,5448 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-27 7,73 7,72 11,37 11,37 87,8901 87,7764 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-28 7,76 7,75 11,35 11,35 88,076 87,9625 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-29 7,833 7,823 11,35 11,35 88,90455 88,79105 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-06-30 7,823 7,813 11,35 11,35 88,79105 88,67755 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-01 7,858 7,848 11,36 11,36 89,26688 89,15328 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-04 7,945 7,935 11,34 11,34 90,0963 89,9829 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-05 7,963 7,953 11,33 11,33 90,22079 90,10749 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-06 7,895 7,885 11,32 11,32 89,3714 89,2582 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-07 7,878 7,868 11,34 11,34 89,33652 89,22312 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-08 7,913 7,903 11,33 11,33 89,65429 89,54099 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-11 7,89 7,88 11,34 11,34 89,4726 89,3592 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-12 7,77 7,76 11,36 11,36 88,2672 88,1536 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-13 7,703 7,693 11,37 11,37 87,58311 87,46941 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-14 7,76 7,75 11,37 11,37 88,2312 88,1175 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-15 7,76 7,75 11,39 11,39 88,3864 88,2725 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-18 7,78 7,77 11,39 11,39 88,6142 88,5003 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-19 7,878 7,868 11,37 11,37 89,57286 89,45916 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-20 7,818 7,808 11,38 11,38 88,96884 88,85504 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-21 7,775 7,765 11,38 11,38 88,4795 88,3657 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-22 7,758 7,748 11,38 11,38 88,28604 88,17224 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-25 7,838 7,828 11,38 11,38 89,19644 89,08264 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-26 7,818 7,808 11,37 11,37 88,89066 88,77696 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-27 7,905 7,895 11,36 11,36 89,8008 89,6872 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-28 7,848 7,838 11,37 11,37 89,23176 89,11806 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-07-29 7,748 7,738 11,39 11,39 88,24972 88,13582 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-02 7,7 7,69 11,23 11,23 86,471 86,3587 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-03 7,685 7,675 11,24 11,24 86,3794 86,267 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-04 7,618 7,608 11,26 11,26 85,77868 85,66608 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-05 7,548 7,538 11,27 11,27 85,06596 84,95326 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-08 7,558 7,548 11,26 11,26 85,10308 84,99048 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-09 7,548 7,538 11,24 11,24 84,83952 84,72712 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-10 7,558 7,548 11,25 11,25 85,0275 84,915 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-11 7,523 7,513 11,27 11,27 84,78421 84,67151 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-12 7,46 7,45 11,28 11,28 84,1488 84,036 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-15 7,508 7,498 11,28 11,28 84,69024 84,57744 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-16 7,523 7,513 11,27 11,27 84,78421 84,67151 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-17 7,605 7,595 11,28 11,28 85,7844 85,6716 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-18 7,61 7,6 11,28 11,28 85,8408 85,728 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-19 7,698 7,688 11,27 11,27 86,75646 86,64376 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-22 7,69 7,68 11,27 11,27 86,6663 86,5536 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-23 7,663 7,653 11,28 11,28 86,43864 86,32584 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-24 7,673 7,663 11,29 11,29 86,62817 86,51527 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-25 7,588 7,578 11,29 11,29 85,66852 85,55562 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-26 7,578 7,568 11,3 11,3 85,6314 85,5184 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-30 7,633 7,623 11,3 11,3 86,2529 86,1399 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-08-31 7,668 7,658 11,31 11,31 86,72508 86,61198 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-01 7,568 7,558 11,36 11,36 85,97248 85,85888 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-02 7,435 7,425 11,39 11,39 84,68465 84,57075 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-05 7,41 7,4 11,4 11,4 84,474 84,36 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-06 7,485 7,475 11,39 11,39 85,25415 85,14025 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-07 7,43 7,42 11,39 11,39 84,6277 84,5138 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-08 7,498 7,488 11,39 11,39 85,40222 85,28832 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-09 7,523 7,513 11,4 11,4 85,7622 85,6482 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-12 7,555 7,545 11,4 11,4 86,127 86,013 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-13 7,57 7,56 11,4 11,4 86,298 86,184 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-14 7,61 7,6 11,41 11,41 86,8301 86,716 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-15 7,658 7,648 11,4 11,4 87,3012 87,1872 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-16 7,613 7,603 11,41 11,41 86,86433 86,75023 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-19 7,698 7,688 11,39 11,39 87,68022 87,56632 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-20 7,688 7,678 11,39 11,39 87,56632 87,45242 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-21 7,663 7,653 11,4 11,4 87,3582 87,2442 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-22 7,648 7,638 11,41 11,41 87,26368 87,14958 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-23 7,733 7,723 11,39 11,39 88,07887 87,96497 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-26 7,798 7,788 11,38 11,38 88,74124 88,62744 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-27 7,825 7,815 11,37 11,37 88,97025 88,85655 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-28 7,81 7,8 11,38 11,38 88,8778 88,764 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-29 7,785 7,775 11,38 11,38 88,5933 88,4795 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-09-30 7,785 7,775 11,38 11,38 88,5933 88,4795 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-03 7,783 7,773 11,37 11,37 88,49271 88,37901 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-04 7,82 7,81 11,36 11,36 88,8352 88,7216 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-05 7,795 7,785 11,36 11,36 88,5512 88,4376 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-06 7,713 7,703 11,36 11,36 87,61968 87,50608 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-07 7,683 7,673 11,33 11,33 87,04839 86,93509 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-10 7,698 7,688 11,35 11,35 87,3723 87,2588 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-11 7,77 7,76 11,34 11,34 88,1118 87,9984 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-12 7,805 7,795 11,32 11,32 88,3526 88,2394 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-13 7,83 7,82 11,29 11,29 88,4007 88,2878 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-14 7,833 7,823 11,26 11,26 88,19958 88,08698 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-17 7,835 7,825 11,26 11,26 88,2221 88,1095 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-18 7,893 7,883 11,27 11,27 88,95411 88,84141 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-19 7,96 7,95 11,29 11,29 89,8684 89,7555 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-20 7,93 7,92 11,28 11,28 89,4504 89,3376 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-21 7,883 7,873 11,29 11,29 88,99907 88,88617 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-24 7,995 7,985 11,29 11,29 90,26355 90,15065 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-25 7,99 7,98 11,29 11,29 90,2071 90,0942 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-26 7,868 7,858 11,3 11,3 88,9084 88,7954 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-27 7,868 7,858 11,29 11,29 88,82972 88,71682 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-10-28 7,825 7,815 11,29 11,29 88,34425 88,23135 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-01 7,963 7,953 11,13 11,13 88,62819 88,51689 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-02 7,98 7,97 11,13 11,13 88,8174 88,7061 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-03 8,01 8 11,14 11,14 89,2314 89,12 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-04 8,028 8,018 11,11 11,11 89,19108 89,07998 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-07 8,135 8,125 11,1 11,1 90,2985 90,1875 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-08 8,17 8,16 11,1 11,1 90,687 90,576 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-09 8,12 8,11 11,12 11,12 90,2944 90,1832 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-10 8,173 8,163 11,11 11,11 90,80203 90,69093 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-11 8,235 8,225 11,11 11,11 91,49085 91,37975 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-14 8,133 8,123 11,12 11,12 90,43896 90,32776 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-15 8,185 8,175 11,12 11,12 91,0172 90,906 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-16 8,21 8,2 11,12 11,12 91,2952 91,184 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-17 8,258 8,248 11,14 11,14 91,99412 91,88272 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-18 8,223 8,213 11,14 11,14 91,60422 91,49282 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-21 8,123 8,113 11,16 11,16 90,65268 90,54108 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-22 8,15 8,14 11,16 11,16 90,954 90,8424 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-23 8,048 8,038 11,18 11,18 89,97664 89,86484 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-24 8,053 8,043 11,18 11,18 90,03254 89,92074 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-25 8,078 8,068 11,19 11,19 90,39282 90,28092 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-28 8,118 8,108 11,19 11,19 90,84042 90,72852 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-29 8,015 8,005 11,22 11,22 89,9283 89,8161 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-11-30 8,088 8,078 11,2 11,2 90,5856 90,4736 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-01 8,083 8,073 11,2 11,2 90,5296 90,4176 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-02 8,103 8,093 11,19 11,19 90,67257 90,56067 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-05 8,045 8,035 11,2 11,2 90,104 89,992 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-06 7,993 7,983 11,2 11,2 89,5216 89,4096 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-07 8,015 8,005 11,2 11,2 89,768 89,656 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-08 7,988 7,978 11,21 11,21 89,54548 89,43338 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-12 7,953 7,943 11,22 11,22 89,23266 89,12046 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-13 7,905 7,895 11,22 11,22 88,6941 88,5819 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-14 7,848 7,838 11,24 11,24 88,21152 88,09912 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-15 7,858 7,848 11,26 11,26 88,48108 88,36848 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-16 7,903 7,893 11,26 11,26 88,98778 88,87518 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-19 7,865 7,855 11,26 11,26 88,5599 88,4473 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-20 7,848 7,838 11,26 11,26 88,36848 88,25588 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-21 7,948 7,938 11,25 11,25 89,415 89,3025 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-22 7,98 7,97 11,25 11,25 89,775 89,6625 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-23 7,955 7,945 11,26 11,26 89,5733 89,4607 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-29 7,938 7,928 11,28 11,28 89,54064 89,42784 298570 Baring International Fund Managers (Ireland) Ltd Baring High Yield Bond Fund US$ (USD) USD 2005-12-30 7,958 7,948 11,29 11,29 89,84582 89,73292 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-04 6,728 6,718 310,54 310,54 2089,31312 2086,20772 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-05 6,828 6,818 303,36 303,36 2071,34208 2068,30848 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-07 6,87 6,86 300,64 300,64 2065,3968 2062,3904 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-10 6,96091 6,95091 300,63 300,63 2092,6583733 2089,6520733 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-11 6,96091 6,95091 299,08 299,08 2081,8689628 2078,8781628 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-12 6,913 6,903 300,32 300,32 2076,11216 2073,10896 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-13 6,843 6,833 301,28 301,28 2061,65904 2058,64624 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-14 6,915 6,905 300,37 300,37 2077,05855 2074,05485 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-17 6,915 6,905 302,31 302,31 2090,47365 2087,45055 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-18 6,968 6,958 303,34 303,34 2113,67312 2110,63972 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-19 6,91 6,9 304,2 304,2 2102,022 2098,98 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-20 6,96 6,95 302,14 302,14 2102,8944 2099,873 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-21 6,978 6,968 301,66 301,66 2104,98348 2101,96688 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-24 6,933 6,923 299,27 299,27 2074,83891 2071,84621 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-25 6,95 6,94 303,09 303,09 2106,4755 2103,4446 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-26 6,995 6,985 304,08 304,08 2127,0396 2123,9988 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-27 6,93 6,92 304,25 304,25 2108,4525 2105,41 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-28 6,985 6,975 305,48 305,48 2133,7778 2130,723 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-01-31 6,998 6,988 307,09 307,09 2149,01582 2145,94492 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-01 6,993 6,983 305,74 305,74 2138,03982 2134,98242 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-02 6,953 6,943 308,43 308,43 2144,51379 2141,42949 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-03 6,968 6,958 308,24 308,24 2147,81632 2144,73392 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-04 7,01 7 309,53 309,53 2169,8053 2166,71 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-07 7,065 7,055 313,06 313,06 2211,7689 2208,6383 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-08 7,123 7,113 313,29 313,29 2231,56467 2228,43177 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-09 7,1 7,09 313,26 313,26 2224,146 2221,0134 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-10 7,088 7,078 313,24 313,24 2220,24512 2217,11272 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-11 7,068 7,058 313,26 313,26 2214,12168 2210,98908 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-14 7,03 7,02 315,13 315,13 2215,3639 2212,2126 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-15 7,005 6,995 315,28 315,28 2208,5364 2205,3836 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-16 6,973 6,963 315,99 315,99 2203,39827 2200,23837 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-17 6,97 6,96 314,98 314,98 2195,4106 2192,2608 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-18 6,965 6,955 316,97 316,97 2207,69605 2204,52635 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-21 6,978 6,968 317,58 317,58 2216,07324 2212,89744 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-22 6,905 6,895 317,16 317,16 2189,9898 2186,8182 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-23 6,895 6,885 315,48 315,48 2175,2346 2172,0798 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-24 6,858 6,848 319,61 319,61 2191,88538 2188,68928 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-25 6,885 6,875 323,55 323,55 2227,64175 2224,40625 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-02-28 6,828 6,818 325,78 325,78 2224,42584 2221,16804 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-01 6,87 6,86 324,41 324,41 2228,6967 2225,4526 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-02 6,888 6,878 320,97 320,97 2210,84136 2207,63166 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-03 6,903 6,893 321,66 321,66 2220,41898 2217,20238 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-04 6,9 6,89 317,85 317,85 2193,165 2189,9865 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-07 6,84 6,83 318,04 318,04 2175,3936 2172,2132 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-08 6,825 6,815 320,59 320,59 2188,02675 2184,82085 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-09 6,76 6,75 323,27 323,27 2185,3052 2182,0725 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-10 6,745 6,735 322,63 322,63 2176,13935 2172,91305 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-11 6,765 6,755 321,69 321,69 2176,23285 2173,01595 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-14 6,76 6,75 320,9 320,9 2169,284 2166,075 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-15 6,815 6,805 317,11 317,11 2161,10465 2157,93355 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-16 6,81 6,8 317,79 317,79 2164,1499 2160,972 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-18 6,828 6,818 318,79 318,79 2176,69812 2173,51022 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-21 6,908 6,898 319,43 319,43 2206,62244 2203,42814 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-22 6,928 6,918 317,52 317,52 2199,77856 2196,60336 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-23 6,973 6,963 313,5 313,5 2186,0355 2182,9005 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-24 7,008 6,998 313,44 313,44 2196,58752 2193,45312 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-29 7,055 7,045 310,77 310,77 2192,48235 2189,37465 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-30 7,053 7,043 310,02 310,02 2186,57106 2183,47086 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-03-31 7,065 7,055 311,32 311,32 2199,4758 2196,3626 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-01 7,07 7,06 312,46 312,46 2209,0922 2205,9676 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-04 7,113 7,103 312,99 312,99 2226,29787 2223,16797 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-05 7,163 7,153 312,96 312,96 2241,73248 2238,60288 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-06 7,125 7,115 313,86 313,86 2236,2525 2233,1139 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-07 7,083 7,073 314,09 314,09 2224,69947 2221,55857 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-08 7,153 7,143 316,47 316,47 2263,70991 2260,54521 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-11 7,098 7,088 315,03 315,03 2236,08294 2232,93264 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-12 7,048 7,038 315,03 315,03 2220,33144 2217,18114 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-13 7,075 7,065 317,03 317,03 2242,98725 2239,81695 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-14 7,12 7,11 316,2 316,2 2251,344 2248,182 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-15 7,17 7,16 312,78 312,78 2242,6326 2239,5048 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-18 7,08 7,07 306,02 306,02 2166,6216 2163,5614 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-19 7,068 7,058 309,31 309,31 2186,20308 2183,10998 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-20 7,043 7,033 308,71 308,71 2174,24453 2171,15743 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-21 7,025 7,015 309,83 309,83 2176,55575 2173,45745 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-22 7,023 7,013 311,83 311,83 2189,98209 2186,86379 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-25 7,04 7,03 311,94 311,94 2196,0576 2192,9382 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-26 7,035 7,025 315,02 315,02 2216,1657 2213,0155 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-27 7,085 7,075 314,87 314,87 2230,85395 2227,70525 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-28 7,085 7,075 315,81 315,81 2237,51385 2234,35575 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-04-29 7,08 7,07 315,39 315,39 2232,9612 2229,8073 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-03 7,178 7,168 310,03 310,03 2225,39534 2222,29504 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-04 7,11 7,1 310,69 310,69 2209,0059 2205,899 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-06 7,085 7,075 311,97 311,97 2210,30745 2207,18775 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-09 7,168 7,158 311,99 311,99 2236,34432 2233,22442 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-10 7,178 7,168 311,34 311,34 2234,79852 2231,68512 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-11 7,15 7,14 309,28 309,28 2211,352 2208,2592 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-12 7,243 7,233 309,08 309,08 2238,66644 2235,57564 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-13 7,265 7,255 307,25 307,25 2232,17125 2229,09875 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-16 7,32 7,31 306,99 306,99 2247,1668 2244,0969 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-17 7,313 7,303 303,44 303,44 2219,05672 2216,02232 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-18 7,3 7,29 303,71 303,71 2217,083 2214,0459 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-19 7,26 7,25 305,18 305,18 2215,6068 2212,555 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-20 7,28 7,27 305,78 305,78 2226,0784 2223,0206 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-23 7,32 7,31 304,76 304,76 2230,8432 2227,7956 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-24 7,295 7,285 305,25 305,25 2226,79875 2223,74625 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-25 7,298 7,288 302,88 302,88 2210,41824 2207,38944 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-26 7,33 7,32 304,1 304,1 2229,053 2226,012 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-27 7,338 7,328 306,95 306,95 2252,3991 2249,3296 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-05-31 7,403 7,393 307,88 307,88 2279,23564 2276,15684 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-01 7,428 7,418 306,36 306,36 2275,64208 2272,57848 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-02 7,473 7,463 305,7 305,7 2284,4961 2281,4391 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-03 7,438 7,428 306,64 306,64 2280,78832 2277,72192 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-07 7,448 7,438 307,74 307,74 2292,04752 2288,97012 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-08 7,435 7,425 308,99 308,99 2297,34065 2294,25075 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-09 7,523 7,513 308,16 308,16 2318,28768 2315,20608 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-10 7,525 7,515 309,7 309,7 2330,4925 2327,3955 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-13 7,643 7,633 309,68 309,68 2366,88424 2363,78744 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-14 7,663 7,653 308,35 308,35 2362,88605 2359,80255 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-15 7,693 7,683 308,65 308,65 2374,44445 2371,35795 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-16 7,678 7,668 308,56 308,56 2369,12368 2366,03808 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-17 7,643 7,633 310 310 2369,33 2366,23 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-20 7,543 7,533 311,14 311,14 2346,92902 2343,81762 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-21 7,648 7,638 310,57 310,57 2375,23936 2372,13366 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-22 7,608 7,598 314,48 314,48 2392,56384 2389,41904 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-23 7,73 7,72 316,27 316,27 2444,7671 2441,6044 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-27 7,73 7,72 316,51 316,51 2446,6223 2443,4572 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-28 7,76 7,75 317,59 317,59 2464,4984 2461,3225 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-29 7,833 7,823 317,51 317,51 2487,05583 2483,88073 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-06-30 7,823 7,813 316,1 316,1 2472,8503 2469,6893 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-01 7,858 7,848 316,19 316,19 2484,62102 2481,45912 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-04 7,945 7,935 316,06 316,06 2511,0967 2507,9361 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-05 7,963 7,953 315,21 315,21 2510,01723 2506,86513 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-06 7,895 7,885 316,52 316,52 2498,9254 2495,7602 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-07 7,878 7,868 312,21 312,21 2459,59038 2456,46828 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-08 7,913 7,903 312,96 312,96 2476,45248 2473,32288 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-11 7,89 7,88 314,15 314,15 2478,6435 2475,502 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-12 7,77 7,76 313,21 313,21 2433,6417 2430,5096 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-13 7,703 7,693 315,88 315,88 2433,22364 2430,06484 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-14 7,76 7,75 318,36 318,36 2470,4736 2467,29 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-15 7,76 7,75 318,7 318,7 2473,112 2469,925 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-18 7,78 7,77 320,36 320,36 2492,4008 2489,1972 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-19 7,878 7,868 320,03 320,03 2521,19634 2517,99604 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-20 7,818 7,808 321,34 321,34 2512,23612 2509,02272 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-21 7,775 7,765 321,07 321,07 2496,31925 2493,10855 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-22 7,758 7,748 322,83 322,83 2504,51514 2501,28684 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-25 7,838 7,828 323,67 323,67 2536,92546 2533,68876 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-26 7,818 7,808 322,56 322,56 2521,77408 2518,54848 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-27 7,905 7,895 324,22 324,22 2562,9591 2559,7169 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-28 7,848 7,838 324,43 324,43 2546,12664 2542,88234 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-07-29 7,748 7,738 326,3 326,3 2528,1724 2524,9094 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-02 7,7 7,69 332,74 332,74 2562,098 2558,7706 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-03 7,685 7,675 332,41 332,41 2554,57085 2551,24675 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-04 7,618 7,608 331,99 331,99 2529,09982 2525,77992 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-05 7,548 7,538 329,1 329,1 2484,0468 2480,7558 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-08 7,558 7,548 329,05 329,05 2486,9599 2483,6694 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-09 7,548 7,538 329,17 329,17 2484,57516 2481,28346 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-10 7,558 7,548 335,26 335,26 2533,89508 2530,54248 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-11 7,523 7,513 336,61 336,61 2532,31703 2528,95093 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-12 7,46 7,45 337,74 337,74 2519,5404 2516,163 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-15 7,508 7,498 338,34 338,34 2540,25672 2536,87332 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-16 7,523 7,513 337 337 2535,251 2531,881 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-17 7,605 7,595 336,22 336,22 2556,9531 2553,5909 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-18 7,61 7,6 329,72 329,72 2509,1692 2505,872 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-19 7,698 7,688 327,75 327,75 2523,0195 2519,742 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-22 7,69 7,68 330,94 330,94 2544,9286 2541,6192 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-23 7,663 7,653 326,13 326,13 2499,13419 2495,87289 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-24 7,673 7,663 323,18 323,18 2479,76014 2476,52834 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-25 7,588 7,578 323,15 323,15 2452,0622 2448,8307 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-26 7,578 7,568 326,16 326,16 2471,64048 2468,37888 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-30 7,633 7,623 325,91 325,91 2487,67103 2484,41193 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-08-31 7,668 7,658 325,31 325,31 2494,47708 2491,22398 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-01 7,568 7,558 330,04 330,04 2497,74272 2494,44232 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-02 7,435 7,425 331,13 331,13 2461,95155 2458,64025 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-05 7,41 7,4 331,65 331,65 2457,5265 2454,21 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-06 7,485 7,475 332,71 332,71 2490,33435 2487,00725 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-07 7,43 7,42 333,89 333,89 2480,8027 2477,4638 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-08 7,498 7,488 333,75 333,75 2502,4575 2499,12 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-09 7,523 7,513 334,38 334,38 2515,54074 2512,19694 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-12 7,555 7,545 336,53 336,53 2542,48415 2539,11885 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-13 7,57 7,56 335,23 335,23 2537,6911 2534,3388 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-14 7,61 7,6 335,94 335,94 2556,5034 2553,144 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-15 7,658 7,648 335,17 335,17 2566,73186 2563,38016 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-16 7,613 7,603 334,03 334,03 2542,97039 2539,63009 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-19 7,698 7,688 333,95 333,95 2570,7471 2567,4076 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-20 7,688 7,678 338,34 338,34 2601,15792 2597,77452 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-21 7,663 7,653 337,5 337,5 2586,2625 2582,8875 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-22 7,648 7,638 336,87 336,87 2576,38176 2573,01306 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-23 7,733 7,723 335,67 335,67 2595,73611 2592,37941 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-26 7,798 7,788 336,53 336,53 2624,26094 2620,89564 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-27 7,825 7,815 336,58 336,58 2633,7385 2630,3727 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-28 7,81 7,8 339,38 339,38 2650,5578 2647,164 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-29 7,785 7,775 342,79 342,79 2668,62015 2665,19225 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-09-30 7,785 7,775 342,16 342,16 2663,7156 2660,294 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-03 7,783 7,773 342,78 342,78 2667,85674 2664,42894 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-04 7,82 7,81 343,23 343,23 2684,0586 2680,6263 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-05 7,795 7,785 338,96 338,96 2642,1932 2638,8036 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-06 7,713 7,703 331,9 331,9 2559,9447 2556,6257 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-07 7,683 7,673 332,14 332,14 2551,83162 2548,51022 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-10 7,698 7,688 334,19 334,19 2572,59462 2569,25272 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-11 7,77 7,76 334,32 334,32 2597,6664 2594,3232 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-12 7,805 7,795 328,39 328,39 2563,08395 2559,80005 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-13 7,83 7,82 328,15 328,15 2569,4145 2566,133 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-14 7,833 7,823 325,19 325,19 2547,21327 2543,96137 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-17 7,835 7,825 324,5 324,5 2542,4575 2539,2125 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-18 7,893 7,883 326,88 326,88 2580,06384 2576,79504 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-19 7,96 7,95 321,11 321,11 2556,0356 2552,8245 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-20 7,93 7,92 321,4 321,4 2548,702 2545,488 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-21 7,883 7,873 322,25 322,25 2540,29675 2537,07425 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-24 7,995 7,985 319,36 319,36 2553,2832 2550,0896 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-25 7,99 7,98 319,48 319,48 2552,6452 2549,4504 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-26 7,868 7,858 318,29 318,29 2504,30572 2501,12282 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-27 7,868 7,858 316,59 316,59 2490,93012 2487,76422 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-10-28 7,825 7,815 314,55 314,55 2461,35375 2458,20825 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-01 7,963 7,953 322,77 322,77 2570,21751 2566,98981 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-02 7,98 7,97 324,04 324,04 2585,8392 2582,5988 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-03 8,01 8 323,13 323,13 2588,2713 2585,04 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-04 8,028 8,018 325,53 325,53 2613,35484 2610,09954 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-07 8,135 8,125 321,9 321,9 2618,6565 2615,4375 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-08 8,17 8,16 321,84 321,84 2629,4328 2626,2144 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-09 8,12 8,11 323,78 323,78 2629,0936 2625,8558 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-10 8,173 8,163 325,46 325,46 2659,98458 2656,72998 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-11 8,235 8,225 326,98 326,98 2692,6803 2689,4105 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-14 8,133 8,123 325,38 325,38 2646,31554 2643,06174 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-15 8,185 8,175 325,02 325,02 2660,2887 2657,0385 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-16 8,21 8,2 325,78 325,78 2674,6538 2671,396 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-17 8,258 8,248 327,99 327,99 2708,54142 2705,26152 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-18 8,223 8,213 330,67 330,67 2719,09941 2715,79271 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-21 8,123 8,113 331,61 331,61 2693,66803 2690,35193 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-22 8,15 8,14 331,37 331,37 2700,6655 2697,3518 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-23 8,048 8,038 336,19 336,19 2705,65712 2702,29522 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-24 8,053 8,043 338,1 338,1 2722,7193 2719,3383 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-25 8,078 8,068 338,74 338,74 2736,34172 2732,95432 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-28 8,118 8,108 340,35 340,35 2762,9613 2759,5578 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-29 8,015 8,005 338,44 338,44 2712,5966 2709,2122 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-11-30 8,088 8,078 337,26 337,26 2727,75888 2724,38628 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-01 8,083 8,073 341 341 2756,303 2752,893 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-02 8,103 8,093 345,15 345,15 2796,75045 2793,29895 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-05 8,045 8,035 345,47 345,47 2779,30615 2775,85145 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-06 7,993 7,983 342,35 342,35 2736,40355 2732,98005 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-07 8,015 8,005 343,73 343,73 2754,99595 2751,55865 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-08 7,988 7,978 341,42 341,42 2727,26296 2723,84876 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-12 7,953 7,943 342,33 342,33 2722,55049 2719,12719 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-13 7,905 7,895 342,52 342,52 2707,6206 2704,1954 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-14 7,848 7,838 344,95 344,95 2707,1676 2703,7181 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-15 7,858 7,848 344,64 344,64 2708,18112 2704,73472 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-16 7,903 7,893 343,37 343,37 2713,65311 2710,21941 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-19 7,865 7,855 347,46 347,46 2732,7729 2729,2983 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-20 7,848 7,838 344,84 344,84 2706,30432 2702,85592 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-21 7,948 7,938 346,71 346,71 2755,65108 2752,18398 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-22 7,98 7,97 346,51 346,51 2765,1498 2761,6847 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-23 7,955 7,945 347,5 347,5 2764,3625 2760,8875 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-29 7,938 7,928 349,28 349,28 2772,58464 2769,09184 334409 Baring International Fund Managers (Ireland) Ltd Baring Hong Kong China Fund USD 2005-12-30 7,958 7,948 347,86 347,86 2768,26988 2764,79128 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-04 6,728 6,718 25,13 25,13 169,07464 168,82334 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-05 6,828 6,818 24,94 24,94 170,29032 170,04092 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-07 6,87 6,86 24,95 24,95 171,4065 171,157 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-10 6,96091 6,95091 24,91 24,91 173,3962681 173,1471681 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-11 6,96091 6,95091 25,01 25,01 174,0923591 173,8422591 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-12 6,913 6,903 25,03 25,03 173,03239 172,78209 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-13 6,843 6,833 25,18 25,18 172,30674 172,05494 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-14 6,915 6,905 25,08 25,08 173,4282 173,1774 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-17 6,915 6,905 25,15 25,15 173,91225 173,66075 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-18 6,968 6,958 25,03 25,03 174,40904 174,15874 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-19 6,91 6,9 25,13 25,13 173,6483 173,397 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-20 6,96 6,95 24,88 24,88 173,1648 172,916 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-21 6,978 6,968 24,86 24,86 173,47308 173,22448 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-24 6,933 6,923 25,06 25,06 173,74098 173,49038 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-25 6,95 6,94 24,98 24,98 173,611 173,3612 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-26 6,995 6,985 24,95 24,95 174,52525 174,27575 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-27 6,93 6,92 24,98 24,98 173,1114 172,8616 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-28 6,985 6,975 24,98 24,98 174,4853 174,2355 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-01-31 6,998 6,988 24,97 24,97 174,74006 174,49036 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-01 6,993 6,983 24,94 24,94 174,40542 174,15602 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-02 6,953 6,943 25,02 25,02 173,96406 173,71386 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-03 6,968 6,958 24,92 24,92 173,64256 173,39336 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-04 7,01 7 24,86 24,86 174,2686 174,02 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-07 7,065 7,055 24,76 24,76 174,9294 174,6818 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-08 7,123 7,113 24,53 24,53 174,72719 174,48189 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-09 7,1 7,09 24,61 24,61 174,731 174,4849 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-10 7,088 7,078 24,56 24,56 174,08128 173,83568 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-11 7,068 7,058 24,63 24,63 174,08484 173,83854 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-14 7,03 7,02 24,79 24,79 174,2737 174,0258 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-15 7,005 6,995 24,79 24,79 173,65395 173,40605 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-16 6,973 6,963 24,82 24,82 173,06986 172,82166 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-17 6,97 6,96 24,81 24,81 172,9257 172,6776 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-18 6,965 6,955 24,75 24,75 172,38375 172,13625 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-21 6,978 6,968 24,76 24,76 172,77528 172,52768 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-22 6,905 6,895 25,01 25,01 172,69405 172,44395 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-23 6,895 6,885 24,95 24,95 172,03025 171,78075 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-24 6,858 6,848 24,98 24,98 171,31284 171,06304 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-25 6,885 6,875 24,84 24,84 171,0234 170,775 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-02-28 6,828 6,818 25,05 25,05 171,0414 170,7909 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-01 6,87 6,86 24,95 24,95 171,4065 171,157 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-02 6,888 6,878 24,78 24,78 170,68464 170,43684 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-03 6,903 6,893 24,79 24,79 171,12537 170,87747 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-04 6,9 6,89 24,73 24,73 170,637 170,3897 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-07 6,84 6,83 24,93 24,93 170,5212 170,2719 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-08 6,825 6,815 24,99 24,99 170,55675 170,30685 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-09 6,76 6,75 25,16 25,16 170,0816 169,83 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-10 6,745 6,735 25,13 25,13 169,50185 169,25055 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-11 6,765 6,755 25,16 25,16 170,2074 169,9558 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-14 6,76 6,75 25,06 25,06 169,4056 169,155 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-15 6,815 6,805 25,12 25,12 171,1928 170,9416 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-16 6,81 6,8 25,14 25,14 171,2034 170,952 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-18 6,828 6,818 25,03 25,03 170,90484 170,65454 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-21 6,908 6,898 24,85 24,85 171,6638 171,4153 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-22 6,928 6,918 24,92 24,92 172,64576 172,39656 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-23 6,973 6,963 24,69 24,69 172,16337 171,91647 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-24 7,008 6,998 24,56 24,56 172,11648 171,87088 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-29 7,055 7,045 24,47 24,47 172,63585 172,39115 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-30 7,053 7,043 24,5 24,5 172,7985 172,5535 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-03-31 7,065 7,055 24,59 24,59 173,72835 173,48245 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-01 7,07 7,06 24,59 24,59 173,8513 173,6054 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-04 7,113 7,103 24,44 24,44 173,84172 173,59732 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-05 7,163 7,153 24,31 24,31 174,13253 173,88943 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-06 7,125 7,115 24,43 24,43 174,06375 173,81945 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-07 7,083 7,073 24,45 24,45 173,17935 172,93485 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-08 7,153 7,143 24,35 24,35 174,17555 173,93205 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-11 7,098 7,088 24,55 24,55 174,2559 174,0104 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-12 7,048 7,038 24,58 24,58 173,23984 172,99404 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-13 7,075 7,065 24,64 24,64 174,328 174,0816 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-14 7,12 7,11 24,46 24,46 174,1552 173,9106 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-15 7,17 7,16 24,46 24,46 175,3782 175,1336 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-18 7,08 7,07 24,73 24,73 175,0884 174,8411 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-19 7,068 7,058 24,72 24,72 174,72096 174,47376 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-20 7,043 7,033 24,87 24,87 175,15941 174,91071 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-21 7,025 7,015 24,9 24,9 174,9225 174,6735 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-22 7,023 7,013 24,93 24,93 175,08339 174,83409 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-25 7,04 7,03 24,9 24,9 175,296 175,047 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-26 7,035 7,025 24,92 24,92 175,3122 175,063 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-27 7,085 7,075 24,82 24,82 175,8497 175,6015 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-28 7,085 7,075 24,89 24,89 176,34565 176,09675 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-04-29 7,08 7,07 25,02 25,02 177,1416 176,8914 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-03 7,178 7,168 24,74 24,74 177,58372 177,33632 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-04 7,11 7,1 24,92 24,92 177,1812 176,932 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-06 7,085 7,075 24,9 24,9 176,4165 176,1675 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-09 7,168 7,158 24,68 24,68 176,90624 176,65944 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-10 7,178 7,168 24,7 24,7 177,2966 177,0496 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-11 7,15 7,14 24,8 24,8 177,32 177,072 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-12 7,243 7,233 24,61 24,61 178,25023 178,00413 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-13 7,265 7,255 24,41 24,41 177,33865 177,09455 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-16 7,32 7,31 24,31 24,31 177,9492 177,7061 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-17 7,313 7,303 24,36 24,36 178,14468 177,90108 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-18 7,3 7,29 24,37 24,37 177,901 177,6573 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-19 7,26 7,25 24,43 24,43 177,3618 177,1175 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-20 7,28 7,27 24,36 24,36 177,3408 177,0972 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-23 7,32 7,31 24,27 24,27 177,6564 177,4137 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-24 7,295 7,285 24,42 24,42 178,1439 177,8997 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-25 7,298 7,288 24,35 24,35 177,7063 177,4628 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-26 7,33 7,32 24,28 24,28 177,9724 177,7296 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-27 7,338 7,328 24,28 24,28 178,16664 177,92384 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-05-31 7,403 7,393 24,11 24,11 178,48633 178,24523 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-01 7,428 7,418 24,04 24,04 178,56912 178,32872 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-02 7,473 7,463 24,16 24,16 180,54768 180,30608 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-03 7,438 7,428 24,23 24,23 180,22274 179,98044 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-07 7,448 7,438 24,39 24,39 181,65672 181,41282 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-08 7,435 7,425 24,43 24,43 181,63705 181,39275 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-09 7,523 7,513 24,27 24,27 182,58321 182,34051 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-10 7,525 7,515 24,26 24,26 182,5565 182,3139 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-13 7,643 7,633 23,89 23,89 182,59127 182,35237 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-14 7,663 7,653 23,95 23,95 183,52885 183,28935 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-15 7,693 7,683 23,85 23,85 183,47805 183,23955 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-16 7,678 7,668 23,92 23,92 183,65776 183,41856 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-17 7,643 7,633 24,1 24,1 184,1963 183,9553 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-20 7,543 7,533 24,07 24,07 181,56001 181,31931 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-21 7,648 7,638 23,91 23,91 182,86368 182,62458 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-22 7,608 7,598 24,05 24,05 182,9724 182,7319 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-23 7,73 7,72 24,03 24,03 185,7519 185,5116 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-27 7,73 7,72 24,11 24,11 186,3703 186,1292 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-28 7,76 7,75 23,98 23,98 186,0848 185,845 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-29 7,833 7,823 23,86 23,86 186,89538 186,65678 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-06-30 7,823 7,813 23,84 23,84 186,50032 186,26192 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-01 7,858 7,848 23,84 23,84 187,33472 187,09632 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-04 7,945 7,935 23,58 23,58 187,3431 187,1073 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-05 7,963 7,953 23,52 23,52 187,28976 187,05456 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-06 7,895 7,885 23,52 23,52 185,6904 185,4552 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-07 7,878 7,868 23,52 23,52 185,29056 185,05536 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-08 7,913 7,903 23,51 23,51 186,03463 185,79953 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-11 7,89 7,88 23,63 23,63 186,4407 186,2044 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-12 7,77 7,76 23,85 23,85 185,3145 185,076 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-13 7,703 7,693 23,82 23,82 183,48546 183,24726 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-14 7,76 7,75 23,65 23,65 183,524 183,2875 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-15 7,76 7,75 23,67 23,67 183,6792 183,4425 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-18 7,78 7,77 23,62 23,62 183,7636 183,5274 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-19 7,878 7,868 23,47 23,47 184,89666 184,66196 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-20 7,818 7,808 23,56 23,56 184,19208 183,95648 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-21 7,775 7,765 23,7 23,7 184,2675 184,0305 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-22 7,758 7,748 23,8 23,8 184,6404 184,4024 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-25 7,838 7,828 23,67 23,67 185,52546 185,28876 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-26 7,818 7,808 23,59 23,59 184,42662 184,19072 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-27 7,905 7,895 23,53 23,53 186,00465 185,76935 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-28 7,848 7,838 23,6 23,6 185,2128 184,9768 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-07-29 7,748 7,738 23,67 23,67 183,39516 183,15846 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-02 7,7 7,69 23,83 23,83 183,491 183,2527 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-03 7,685 7,675 23,91 23,91 183,74835 183,50925 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-04 7,618 7,608 23,93 23,93 182,29874 182,05944 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-05 7,548 7,538 23,92 23,92 180,54816 180,30896 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-08 7,558 7,548 23,93 23,93 180,86294 180,62364 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-09 7,548 7,538 23,86 23,86 180,09528 179,85668 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-10 7,558 7,548 24,1 24,1 182,1478 181,9068 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-11 7,523 7,513 24,1 24,1 181,3043 181,0633 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-12 7,46 7,45 24,26 24,26 180,9796 180,737 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-15 7,508 7,498 24,2 24,2 181,6936 181,4516 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-16 7,523 7,513 24,16 24,16 181,75568 181,51408 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-17 7,605 7,595 24,15 24,15 183,66075 183,41925 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-18 7,61 7,6 24,02 24,02 182,7922 182,552 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-19 7,698 7,688 23,97 23,97 184,52106 184,28136 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-22 7,69 7,68 24,08 24,08 185,1752 184,9344 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-23 7,663 7,653 24,03 24,03 184,14189 183,90159 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-24 7,673 7,663 24,02 24,02 184,30546 184,06526 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-25 7,588 7,578 24,16 24,16 183,32608 183,08448 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-26 7,578 7,568 24,2 24,2 183,3876 183,1456 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-30 7,633 7,623 23,91 23,91 182,50503 182,26593 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-08-31 7,668 7,658 23,93 23,93 183,49524 183,25594 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-01 7,568 7,558 24,3 24,3 183,9024 183,6594 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-02 7,435 7,425 24,59 24,59 182,82665 182,58075 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-05 7,41 7,4 24,64 24,64 182,5824 182,336 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-06 7,485 7,475 24,47 24,47 183,15795 182,91325 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-07 7,43 7,42 24,43 24,43 181,5149 181,2706 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-08 7,498 7,488 24,3 24,3 182,2014 181,9584 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-09 7,523 7,513 24,32 24,32 182,95936 182,71616 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-12 7,555 7,545 24,3 24,3 183,5865 183,3435 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-13 7,57 7,56 24,11 24,11 182,5127 182,2716 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-14 7,61 7,6 24,23 24,23 184,3903 184,148 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-15 7,658 7,648 24,16 24,16 185,01728 184,77568 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-16 7,613 7,603 24,1 24,1 183,4733 183,2323 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-19 7,698 7,688 23,95 23,95 184,3671 184,1276 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-20 7,688 7,678 24 24 184,512 184,272 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-21 7,663 7,653 24,09 24,09 184,60167 184,36077 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-22 7,648 7,638 24,14 24,14 184,62272 184,38132 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-23 7,733 7,723 23,97 23,97 185,36001 185,12031 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-26 7,798 7,788 23,75 23,75 185,2025 184,965 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-27 7,825 7,815 23,65 23,65 185,06125 184,82475 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-28 7,81 7,8 23,67 23,67 184,8627 184,626 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-29 7,785 7,775 23,74 23,74 184,8159 184,5785 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-09-30 7,785 7,775 23,68 23,68 184,3488 184,112 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-03 7,783 7,773 23,47 23,47 182,66701 182,43231 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-04 7,82 7,81 23,45 23,45 183,379 183,1445 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-05 7,795 7,785 23,54 23,54 183,4943 183,2589 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-06 7,713 7,703 23,62 23,62 182,18106 181,94486 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-07 7,683 7,673 23,73 23,73 182,31759 182,08029 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-10 7,698 7,688 23,68 23,68 182,28864 182,05184 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-11 7,77 7,76 23,58 23,58 183,2166 182,9808 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-12 7,805 7,795 23,45 23,45 183,02725 182,79275 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-13 7,83 7,82 23,38 23,38 183,0654 182,8316 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-14 7,833 7,823 23,36 23,36 182,97888 182,74528 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-17 7,835 7,825 23,42 23,42 183,4957 183,2615 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-18 7,893 7,883 23,22 23,22 183,27546 183,04326 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-19 7,96 7,95 23,33 23,33 185,7068 185,4735 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-20 7,93 7,92 23,28 23,28 184,6104 184,3776 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-21 7,883 7,873 23,38 23,38 184,30454 184,07074 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-24 7,995 7,985 23,31 23,31 186,36345 186,13035 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-25 7,99 7,98 23,39 23,39 186,8861 186,6522 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-26 7,868 7,858 23,37 23,37 183,87516 183,64146 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-27 7,868 7,858 23,42 23,42 184,26856 184,03436 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-10-28 7,825 7,815 23,45 23,45 183,49625 183,26175 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-01 7,963 7,953 23,1 23,1 183,9453 183,7143 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-02 7,98 7,97 23 23 183,54 183,31 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-03 8,01 8 23,06 23,06 184,7106 184,48 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-04 8,028 8,018 22,84 22,84 183,35952 183,13112 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-07 8,135 8,125 22,72 22,72 184,8272 184,6 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-08 8,17 8,16 22,62 22,62 184,8054 184,5792 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-09 8,12 8,11 22,7 22,7 184,324 184,097 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-10 8,173 8,163 22,7 22,7 185,5271 185,3001 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-11 8,235 8,225 22,61 22,61 186,19335 185,96725 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-14 8,133 8,123 22,61 22,61 183,88713 183,66103 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-15 8,185 8,175 22,45 22,45 183,75325 183,52875 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-16 8,21 8,2 22,48 22,48 184,5608 184,336 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-17 8,258 8,248 22,59 22,59 186,54822 186,32232 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-18 8,223 8,213 22,55 22,55 185,42865 185,20315 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-21 8,123 8,113 22,66 22,66 184,06718 183,84058 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-22 8,15 8,14 22,54 22,54 183,701 183,4756 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-23 8,048 8,038 22,69 22,69 182,60912 182,38222 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-24 8,053 8,043 22,71 22,71 182,88363 182,65653 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-25 8,078 8,068 22,64 22,64 182,88592 182,65952 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-28 8,118 8,108 22,55 22,55 183,0609 182,8354 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-29 8,015 8,005 22,73 22,73 182,18095 181,95365 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-11-30 8,088 8,078 22,59 22,59 182,70792 182,48202 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-01 8,083 8,073 22,56 22,56 182,35248 182,12688 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-02 8,103 8,093 22,45 22,45 181,91235 181,68785 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-05 8,045 8,035 22,46 22,46 180,6907 180,4661 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-06 7,993 7,983 22,49 22,49 179,76257 179,53767 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-07 8,015 8,005 22,47 22,47 180,09705 179,87235 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-08 7,988 7,978 22,57 22,57 180,28916 180,06346 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-12 7,953 7,943 22,64 22,64 180,05592 179,82952 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-13 7,905 7,895 22,67 22,67 179,20635 178,97965 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-14 7,848 7,838 22,96 22,96 180,19008 179,96048 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-15 7,858 7,848 23,23 23,23 182,54134 182,30904 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-16 7,903 7,893 23,17 23,17 183,11251 182,88081 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-19 7,865 7,855 23,23 23,23 182,70395 182,47165 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-20 7,848 7,838 23,14 23,14 181,60272 181,37132 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-21 7,948 7,938 22,98 22,98 182,64504 182,41524 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-22 7,98 7,97 22,9 22,9 182,742 182,513 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-23 7,955 7,945 23,02 23,02 183,1241 182,8939 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-29 7,938 7,928 22,97 22,97 182,33586 182,10616 370239 Baring International Fund Managers (Ireland) Ltd Baring International Bond Fund USD 2005-12-30 7,958 7,948 23,01 23,01 183,11358 182,88348 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-04 6,728 6,718 12,42 12,42 83,56176 83,43756 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-05 6,828 6,818 12,21 12,21 83,36988 83,24778 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-07 6,87 6,86 12,23 12,23 84,0201 83,8978 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-10 6,96091 6,95091 12,25 12,25 85,2711475 85,1486475 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-11 6,96091 6,95091 12,43 12,43 86,5241113 86,3998113 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-12 6,913 6,903 12,47 12,47 86,20511 86,08041 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-13 6,843 6,833 12,47 12,47 85,33221 85,20751 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-14 6,915 6,905 12,56 12,56 86,8524 86,7268 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-17 6,915 6,905 12,77 12,77 88,30455 88,17685 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-18 6,968 6,958 12,6 12,6 87,7968 87,6708 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-19 6,91 6,9 12,66 12,66 87,4806 87,354 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-20 6,96 6,95 12,42 12,42 86,4432 86,319 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-21 6,978 6,968 12,3 12,3 85,8294 85,7064 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-24 6,933 6,923 12,3 12,3 85,2759 85,1529 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-25 6,95 6,94 12,39 12,39 86,1105 85,9866 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-26 6,995 6,985 12,49 12,49 87,36755 87,24265 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-27 6,93 6,92 12,46 12,46 86,3478 86,2232 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-28 6,985 6,975 12,43 12,43 86,82355 86,69925 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-01-31 6,998 6,988 12,44 12,44 87,05512 86,93072 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-01 6,993 6,983 12,39 12,39 86,64327 86,51937 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-02 6,953 6,943 12,52 12,52 87,05156 86,92636 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-03 6,968 6,958 12,46 12,46 86,82128 86,69668 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-04 7,01 7 12,4 12,4 86,924 86,8 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-07 7,065 7,055 12,42 12,42 87,7473 87,6231 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-08 7,123 7,113 12,25 12,25 87,25675 87,13425 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-09 7,1 7,09 12,26 12,26 87,046 86,9234 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-10 7,088 7,078 12,23 12,23 86,68624 86,56394 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-11 7,068 7,058 12,26 12,26 86,65368 86,53108 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-14 7,03 7,02 12,45 12,45 87,5235 87,399 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-15 7,005 6,995 12,49 12,49 87,49245 87,36755 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-16 6,973 6,963 12,39 12,39 86,39547 86,27157 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-17 6,97 6,96 12,3 12,3 85,731 85,608 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-18 6,965 6,955 12,34 12,34 85,9481 85,8247 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-21 6,978 6,968 12,34 12,34 86,10852 85,98512 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-22 6,905 6,895 12,5 12,5 86,3125 86,1875 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-23 6,895 6,885 12,32 12,32 84,9464 84,8232 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-24 6,858 6,848 12,41 12,41 85,10778 84,98368 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-25 6,885 6,875 12,45 12,45 85,71825 85,59375 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-02-28 6,828 6,818 12,68 12,68 86,57904 86,45224 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-01 6,87 6,86 12,71 12,71 87,3177 87,1906 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-02 6,888 6,878 12,66 12,66 87,20208 87,07548 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-03 6,903 6,893 12,64 12,64 87,25392 87,12752 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-04 6,9 6,89 12,59 12,59 86,871 86,7451 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-07 6,84 6,83 12,68 12,68 86,7312 86,6044 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-08 6,825 6,815 12,65 12,65 86,33625 86,20975 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-09 6,76 6,75 12,83 12,83 86,7308 86,6025 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-10 6,745 6,735 12,74 12,74 85,9313 85,8039 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-11 6,765 6,755 12,8 12,8 86,592 86,464 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-14 6,76 6,75 12,68 12,68 85,7168 85,59 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-15 6,815 6,805 12,71 12,71 86,61865 86,49155 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-16 6,81 6,8 12,79 12,79 87,0999 86,972 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-18 6,828 6,818 12,71 12,71 86,78388 86,65678 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-21 6,908 6,898 12,65 12,65 87,3862 87,2597 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-22 6,928 6,918 12,76 12,76 88,40128 88,27368 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-23 6,973 6,963 12,6 12,6 87,8598 87,7338 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-24 7,008 6,998 12,43 12,43 87,10944 86,98514 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-29 7,055 7,045 12,29 12,29 86,70595 86,58305 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-30 7,053 7,043 12,14 12,14 85,62342 85,50202 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-03-31 7,065 7,055 12,38 12,38 87,4647 87,3409 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-01 7,07 7,06 12,36 12,36 87,3852 87,2616 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-04 7,113 7,103 12,26 12,26 87,20538 87,08278 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-05 7,163 7,153 12,2 12,2 87,3886 87,2666 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-06 7,125 7,115 12,29 12,29 87,56625 87,44335 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-07 7,083 7,073 12,3 12,3 87,1209 86,9979 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-08 7,153 7,143 12,37 12,37 88,48261 88,35891 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-11 7,098 7,088 12,34 12,34 87,58932 87,46592 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-12 7,048 7,038 12,2 12,2 85,9856 85,8636 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-13 7,075 7,065 12,23 12,23 86,52725 86,40495 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-14 7,12 7,11 12,04 12,04 85,7248 85,6044 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-15 7,17 7,16 11,86 11,86 85,0362 84,9176 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-18 7,08 7,07 11,53 11,53 81,6324 81,5171 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-19 7,068 7,058 11,76 11,76 83,11968 83,00208 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-20 7,043 7,033 11,88 11,88 83,67084 83,55204 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-21 7,025 7,015 11,77 11,77 82,68425 82,56655 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-22 7,023 7,013 11,97 11,97 84,06531 83,94561 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-25 7,04 7,03 12,07 12,07 84,9728 84,8521 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-26 7,035 7,025 12,07 12,07 84,91245 84,79175 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-27 7,085 7,075 12,05 12,05 85,37425 85,25375 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-28 7,085 7,075 12,11 12,11 85,79935 85,67825 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-04-29 7,08 7,07 12,19 12,19 86,3052 86,1833 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-03 7,178 7,168 12,17 12,17 87,35626 87,23456 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-04 7,11 7,1 12,26 12,26 87,1686 87,046 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-06 7,085 7,075 12,38 12,38 87,7123 87,5885 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-09 7,168 7,158 12,37 12,37 88,66816 88,54446 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-10 7,178 7,168 12,26 12,26 88,00228 87,87968 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-11 7,15 7,14 12,24 12,24 87,516 87,3936 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-12 7,243 7,233 12,08 12,08 87,49544 87,37464 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-13 7,265 7,255 11,95 11,95 86,81675 86,69725 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-16 7,32 7,31 11,78 11,78 86,2296 86,1118 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-17 7,313 7,303 11,64 11,64 85,12332 85,00692 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-18 7,3 7,29 11,63 11,63 84,899 84,7827 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-19 7,26 7,25 11,87 11,87 86,1762 86,0575 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-20 7,28 7,27 11,82 11,82 86,0496 85,9314 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-23 7,32 7,31 11,91 11,91 87,1812 87,0621 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-24 7,295 7,285 11,9 11,9 86,8105 86,6915 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-25 7,298 7,288 11,68 11,68 85,24064 85,12384 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-26 7,33 7,32 11,64 11,64 85,3212 85,2048 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-27 7,338 7,328 11,73 11,73 86,07474 85,95744 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-05-31 7,403 7,393 11,84 11,84 87,65152 87,53312 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-01 7,428 7,418 11,84 11,84 87,94752 87,82912 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-02 7,473 7,463 11,88 11,88 88,77924 88,66044 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-03 7,438 7,428 11,91 11,91 88,58658 88,46748 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-07 7,448 7,438 12,01 12,01 89,45048 89,33038 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-08 7,435 7,425 12,09 12,09 89,88915 89,76825 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-09 7,523 7,513 11,98 11,98 90,12554 90,00574 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-10 7,525 7,515 12,1 12,1 91,0525 90,9315 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-13 7,643 7,633 11,95 11,95 91,33385 91,21435 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-14 7,663 7,653 11,93 11,93 91,41959 91,30029 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-15 7,693 7,683 12,04 12,04 92,62372 92,50332 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-16 7,678 7,668 12,09 12,09 92,82702 92,70612 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-17 7,643 7,633 12,16 12,16 92,93888 92,81728 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-20 7,543 7,533 12,17 12,17 91,79831 91,67661 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-21 7,648 7,638 12,06 12,06 92,23488 92,11428 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-22 7,608 7,598 12,13 12,13 92,28504 92,16374 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-23 7,73 7,72 12,11 12,11 93,6103 93,4892 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-27 7,73 7,72 11,97 11,97 92,5281 92,4084 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-28 7,76 7,75 12 12 93,12 93 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-29 7,833 7,823 11,92 11,92 93,36936 93,25016 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-06-30 7,823 7,813 11,89 11,89 93,01547 92,89657 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-01 7,858 7,848 11,88 11,88 93,35304 93,23424 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-04 7,945 7,935 11,9 11,9 94,5455 94,4265 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-05 7,963 7,953 11,84 11,84 94,28192 94,16352 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-06 7,895 7,885 11,87 11,87 93,71365 93,59495 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-07 7,878 7,868 11,84 11,84 93,27552 93,15712 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-08 7,913 7,903 11,78 11,78 93,21514 93,09734 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-11 7,89 7,88 11,87 11,87 93,6543 93,5356 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-12 7,77 7,76 11,96 11,96 92,9292 92,8096 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-13 7,703 7,693 11,93 11,93 91,89679 91,77749 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-14 7,76 7,75 11,9 11,9 92,344 92,225 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-15 7,76 7,75 11,91 11,91 92,4216 92,3025 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-18 7,78 7,77 11,88 11,88 92,4264 92,3076 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-19 7,878 7,868 11,76 11,76 92,64528 92,52768 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-20 7,818 7,808 11,79 11,79 92,17422 92,05632 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-21 7,775 7,765 11,83 11,83 91,97825 91,85995 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-22 7,758 7,748 11,88 11,88 92,16504 92,04624 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-25 7,838 7,828 11,83 11,83 92,72354 92,60524 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-26 7,818 7,808 11,77 11,77 92,01786 91,90016 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-27 7,905 7,895 11,83 11,83 93,51615 93,39785 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-28 7,848 7,838 11,85 11,85 92,9988 92,8803 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-07-29 7,748 7,738 11,89 11,89 92,12372 92,00482 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-02 7,7 7,69 11,93 11,93 91,861 91,7417 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-03 7,685 7,675 11,94 11,94 91,7589 91,6395 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-04 7,618 7,608 11,86 11,86 90,34948 90,23088 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-05 7,548 7,538 11,66 11,66 88,00968 87,89308 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-08 7,558 7,548 11,65 11,65 88,0507 87,9342 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-09 7,548 7,538 11,76 11,76 88,76448 88,64688 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-10 7,558 7,548 12,06 12,06 91,14948 91,02888 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-11 7,523 7,513 12,24 12,24 92,08152 91,95912 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-12 7,46 7,45 12,34 12,34 92,0564 91,933 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-15 7,508 7,498 12,44 12,44 93,39952 93,27512 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-16 7,523 7,513 12,53 12,53 94,26319 94,13789 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-17 7,605 7,595 12,47 12,47 94,83435 94,70965 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-18 7,61 7,6 12,4 12,4 94,364 94,24 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-19 7,698 7,688 12,41 12,41 95,53218 95,40808 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-22 7,69 7,68 12,74 12,74 97,9706 97,8432 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-23 7,663 7,653 12,7 12,7 97,3201 97,1931 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-24 7,673 7,663 12,69 12,69 97,37037 97,24347 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-25 7,588 7,578 12,71 12,71 96,44348 96,31638 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-26 7,578 7,568 12,78 12,78 96,84684 96,71904 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-30 7,633 7,623 12,66 12,66 96,63378 96,50718 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-08-31 7,668 7,658 12,6 12,6 96,6168 96,4908 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-01 7,568 7,558 12,84 12,84 97,17312 97,04472 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-02 7,435 7,425 12,98 12,98 96,5063 96,3765 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-05 7,41 7,4 13,17 13,17 97,5897 97,458 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-06 7,485 7,475 12,98 12,98 97,1553 97,0255 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-07 7,43 7,42 12,89 12,89 95,7727 95,6438 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-08 7,498 7,488 12,77 12,77 95,74946 95,62176 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-09 7,523 7,513 12,91 12,91 97,12193 96,99283 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-12 7,555 7,545 13,21 13,21 99,80155 99,66945 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-13 7,57 7,56 13,15 13,15 99,5455 99,414 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-14 7,61 7,6 13,24 13,24 100,7564 100,624 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-15 7,658 7,648 13,41 13,41 102,69378 102,55968 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-16 7,613 7,603 13,4 13,4 102,0142 101,8802 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-19 7,698 7,688 13,34 13,34 102,69132 102,55792 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-20 7,688 7,678 13,55 13,55 104,1724 104,0369 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-21 7,663 7,653 13,58 13,58 104,06354 103,92774 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-22 7,648 7,638 13,56 13,56 103,70688 103,57128 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-23 7,733 7,723 13,52 13,52 104,55016 104,41496 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-26 7,798 7,788 13,67 13,67 106,59866 106,46196 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-27 7,825 7,815 13,56 13,56 106,107 105,9714 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-28 7,81 7,8 13,84 13,84 108,0904 107,952 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-29 7,785 7,775 13,99 13,99 108,91215 108,77225 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-09-30 7,785 7,775 13,82 13,82 107,5887 107,4505 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-03 7,783 7,773 13,78 13,78 107,24974 107,11194 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-04 7,82 7,81 13,83 13,83 108,1506 108,0123 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-05 7,795 7,785 13,79 13,79 107,49305 107,35515 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-06 7,713 7,703 13,38 13,38 103,19994 103,06614 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-07 7,683 7,673 13,51 13,51 103,79733 103,66223 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-10 7,698 7,688 13,45 13,45 103,5381 103,4036 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-11 7,77 7,76 13,72 13,72 106,6044 106,4672 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-12 7,805 7,795 13,67 13,67 106,69435 106,55765 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-13 7,83 7,82 13,63 13,63 106,7229 106,5866 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-14 7,833 7,823 13,5 13,5 105,7455 105,6105 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-17 7,835 7,825 13,44 13,44 105,3024 105,168 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-18 7,893 7,883 13,38 13,38 105,60834 105,47454 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-19 7,96 7,95 13,24 13,24 105,3904 105,258 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-20 7,93 7,92 13,27 13,27 105,2311 105,0984 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-21 7,883 7,873 13,28 13,28 104,68624 104,55344 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-24 7,995 7,985 13,17 13,17 105,29415 105,16245 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-25 7,99 7,98 13,35 13,35 106,6665 106,533 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-26 7,868 7,858 13,44 13,44 105,74592 105,61152 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-27 7,868 7,858 13,57 13,57 106,76876 106,63306 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-10-28 7,825 7,815 13,58 13,58 106,2635 106,1277 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-01 7,963 7,953 13,96 13,96 111,16348 111,02388 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-02 7,98 7,97 14,04 14,04 112,0392 111,8988 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-03 8,01 8 14,05 14,05 112,5405 112,4 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-04 8,028 8,018 14,22 14,22 114,15816 114,01596 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-07 8,135 8,125 14,29 14,29 116,24915 116,10625 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-08 8,17 8,16 14,26 14,26 116,5042 116,3616 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-09 8,12 8,11 14,2 14,2 115,304 115,162 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-10 8,173 8,163 14,11 14,11 115,32103 115,17993 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-11 8,235 8,225 14,17 14,17 116,68995 116,54825 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-14 8,133 8,123 13,96 13,96 113,53668 113,39708 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-15 8,185 8,175 13,82 13,82 113,1167 112,9785 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-16 8,21 8,2 13,92 13,92 114,2832 114,144 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-17 8,258 8,248 14,17 14,17 117,01586 116,87416 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-18 8,223 8,213 14,3 14,3 117,5889 117,4459 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-21 8,123 8,113 14,31 14,31 116,24013 116,09703 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-22 8,15 8,14 14,21 14,21 115,8115 115,6694 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-23 8,048 8,038 14,29 14,29 115,00592 114,86302 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-24 8,053 8,043 14,19 14,19 114,27207 114,13017 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-25 8,078 8,068 14,28 14,28 115,35384 115,21104 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-28 8,118 8,108 14,3 14,3 116,0874 115,9444 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-29 8,015 8,005 14,48 14,48 116,0572 115,9124 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-11-30 8,088 8,078 14,37 14,37 116,22456 116,08086 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-01 8,083 8,073 14,56 14,56 117,68848 117,54288 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-02 8,103 8,093 14,76 14,76 119,60028 119,45268 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-05 8,045 8,035 14,94 14,94 120,1923 120,0429 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-06 7,993 7,983 14,89 14,89 119,01577 118,86687 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-07 8,015 8,005 14,91 14,91 119,50365 119,35455 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-08 7,988 7,978 14,72 14,72 117,58336 117,43616 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-12 7,953 7,943 15,26 15,26 121,36278 121,21018 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-13 7,905 7,895 15,35 15,35 121,34175 121,18825 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-14 7,848 7,838 15,42 15,42 121,01616 120,86196 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-15 7,858 7,848 15,59 15,59 122,50622 122,35032 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-16 7,903 7,893 15,51 15,51 122,57553 122,42043 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-19 7,865 7,855 15,67 15,67 123,24455 123,08785 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-20 7,848 7,838 15,88 15,88 124,62624 124,46744 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-21 7,948 7,938 15,94 15,94 126,69112 126,53172 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-22 7,98 7,97 15,87 15,87 126,6426 126,4839 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-23 7,955 7,945 15,96 15,96 126,9618 126,8022 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-29 7,938 7,928 16,17 16,17 128,35746 128,19576 406066 Baring International Fund Managers (Ireland) Ltd Baring Japan Fund USD 2005-12-30 7,958 7,948 16,11 16,11 128,20338 128,04228 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-04 6,728 6,718 8,23 8,23 55,37144 55,28914 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-05 6,828 6,818 8,08 8,08 55,17024 55,08944 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-07 6,87 6,86 8,08 8,08 55,5096 55,4288 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-10 6,96091 6,95091 8,07 8,07 56,1745437 56,0938437 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-11 6,96091 6,95091 8,11 8,11 56,4529801 56,3718801 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-12 6,913 6,903 8,1 8,1 55,9953 55,9143 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-13 6,843 6,833 8,13 8,13 55,63359 55,55229 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-14 6,915 6,905 8,12 8,12 56,1498 56,0686 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-17 6,915 6,905 8,21 8,21 56,77215 56,69005 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-18 6,968 6,958 8,16 8,16 56,85888 56,77728 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-19 6,91 6,9 8,21 8,21 56,7311 56,649 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-20 6,96 6,95 8,09 8,09 56,3064 56,2255 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-21 6,978 6,968 8,05 8,05 56,1729 56,0924 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-24 6,933 6,923 8,06 8,06 55,87998 55,79938 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-25 6,95 6,94 8,04 8,04 55,878 55,7976 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-26 6,995 6,985 8,07 8,07 56,44965 56,36895 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-27 6,93 6,92 8,08 8,08 55,9944 55,9136 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-28 6,985 6,975 8,09 8,09 56,50865 56,42775 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-01-31 6,998 6,988 8,12 8,12 56,82376 56,74256 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-01 6,993 6,983 8,12 8,12 56,78316 56,70196 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-02 6,953 6,943 8,16 8,16 56,73648 56,65488 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-03 6,968 6,958 8,18 8,18 56,99824 56,91644 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-04 7,01 7 8,15 8,15 57,1315 57,05 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-07 7,065 7,055 8,21 8,21 58,00365 57,92155 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-08 7,123 7,113 8,15 8,15 58,05245 57,97095 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-09 7,1 7,09 8,15 8,15 57,865 57,7835 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-10 7,088 7,078 8,13 8,13 57,62544 57,54414 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-11 7,068 7,058 8,18 8,18 57,81624 57,73444 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-14 7,03 7,02 8,28 8,28 58,2084 58,1256 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-15 7,005 6,995 8,27 8,27 57,93135 57,84865 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-16 6,973 6,963 8,25 8,25 57,52725 57,44475 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-17 6,97 6,96 8,27 8,27 57,6419 57,5592 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-18 6,965 6,955 8,27 8,27 57,60055 57,51785 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-21 6,978 6,968 8,28 8,28 57,77784 57,69504 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-22 6,905 6,895 8,3 8,3 57,3115 57,2285 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-23 6,895 6,885 8,25 8,25 56,88375 56,80125 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-24 6,858 6,848 8,33 8,33 57,12714 57,04384 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-25 6,885 6,875 8,39 8,39 57,76515 57,68125 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-02-28 6,828 6,818 8,49 8,49 57,96972 57,88482 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-01 6,87 6,86 8,52 8,52 58,5324 58,4472 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-02 6,888 6,878 8,49 8,49 58,47912 58,39422 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-03 6,903 6,893 8,52 8,52 58,81356 58,72836 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-04 6,9 6,89 8,5 8,5 58,65 58,565 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-07 6,84 6,83 8,61 8,61 58,8924 58,8063 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-08 6,825 6,815 8,59 8,59 58,62675 58,54085 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-09 6,76 6,75 8,67 8,67 58,6092 58,5225 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-10 6,745 6,735 8,57 8,57 57,80465 57,71895 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-11 6,765 6,755 8,57 8,57 57,97605 57,89035 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-14 6,76 6,75 8,53 8,53 57,6628 57,5775 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-15 6,815 6,805 8,48 8,48 57,7912 57,7064 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-16 6,81 6,8 8,47 8,47 57,6807 57,596 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-18 6,828 6,818 8,46 8,46 57,76488 57,68028 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-21 6,908 6,898 8,43 8,43 58,23444 58,15014 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-22 6,928 6,918 8,36 8,36 57,91808 57,83448 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-23 6,973 6,963 8,27 8,27 57,66671 57,58401 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-24 7,008 6,998 8,17 8,17 57,25536 57,17366 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-29 7,055 7,045 8,14 8,14 57,4277 57,3463 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-30 7,053 7,043 8,07 8,07 56,91771 56,83701 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-03-31 7,065 7,055 8,17 8,17 57,72105 57,63935 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-01 7,07 7,06 8,24 8,24 58,2568 58,1744 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-04 7,113 7,103 8,22 8,22 58,46886 58,38666 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-05 7,163 7,153 8,21 8,21 58,80823 58,72613 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-06 7,125 7,115 8,2 8,2 58,425 58,343 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-07 7,083 7,073 8,22 8,22 58,22226 58,14006 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-08 7,153 7,143 8,24 8,24 58,94072 58,85832 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-11 7,098 7,088 8,24 8,24 58,48752 58,40512 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-12 7,048 7,038 8,24 8,24 58,07552 57,99312 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-13 7,075 7,065 8,24 8,24 58,298 58,2156 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-14 7,12 7,11 8,11 8,11 57,7432 57,6621 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-15 7,17 7,16 7,99 7,99 57,2883 57,2084 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-18 7,08 7,07 7,83 7,83 55,4364 55,3581 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-19 7,068 7,058 7,91 7,91 55,90788 55,82878 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-20 7,043 7,033 8 8 56,344 56,264 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-21 7,025 7,015 7,97 7,97 55,98925 55,90955 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-22 7,023 7,013 8,05 8,05 56,53515 56,45465 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-25 7,04 7,03 8,03 8,03 56,5312 56,4509 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-26 7,035 7,025 8,07 8,07 56,77245 56,69175 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-27 7,085 7,075 8 8 56,68 56,6 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-28 7,085 7,075 7,92 7,92 56,1132 56,034 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-04-29 7,08 7,07 7,92 7,92 56,0736 55,9944 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-03 7,178 7,168 7,94 7,94 56,99332 56,91392 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-04 7,11 7,1 8 8 56,88 56,8 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-06 7,085 7,075 8,11 8,11 57,45935 57,37825 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-09 7,168 7,158 8,07 8,07 57,84576 57,76506 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-10 7,178 7,168 8,05 8,05 57,7829 57,7024 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-11 7,15 7,14 8 8 57,2 57,12 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-12 7,243 7,233 7,99 7,99 57,87157 57,79167 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-13 7,265 7,255 7,88 7,88 57,2482 57,1694 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-16 7,32 7,31 7,8 7,8 57,096 57,018 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-17 7,313 7,303 7,79 7,79 56,96827 56,89037 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-18 7,3 7,29 7,82 7,82 57,086 57,0078 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-19 7,26 7,25 7,92 7,92 57,4992 57,42 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-20 7,28 7,27 7,93 7,93 57,7304 57,6511 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-23 7,32 7,31 7,93 7,93 58,0476 57,9683 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-24 7,295 7,285 7,97 7,97 58,14115 58,06145 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-25 7,298 7,288 7,94 7,94 57,94612 57,86672 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-26 7,33 7,32 7,92 7,92 58,0536 57,9744 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-27 7,338 7,328 7,96 7,96 58,41048 58,33088 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-05-31 7,403 7,393 7,97 7,97 59,00191 58,92221 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-01 7,428 7,418 7,97 7,97 59,20116 59,12146 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-02 7,473 7,463 8,01 8,01 59,85873 59,77863 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-03 7,438 7,428 8,05 8,05 59,8759 59,7954 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-07 7,448 7,438 8,08 8,08 60,17984 60,09904 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-08 7,435 7,425 8,09 8,09 60,14915 60,06825 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-09 7,523 7,513 8,07 8,07 60,71061 60,62991 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-10 7,525 7,515 8,12 8,12 61,103 61,0218 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-13 7,643 7,633 8,08 8,08 61,75544 61,67464 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-14 7,663 7,653 8,11 8,11 62,14693 62,06583 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-15 7,693 7,683 8,15 8,15 62,69795 62,61645 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-16 7,678 7,668 8,21 8,21 63,03638 62,95428 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-17 7,643 7,633 8,29 8,29 63,36047 63,27757 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-20 7,543 7,533 8,29 8,29 62,53147 62,44857 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-21 7,648 7,638 8,28 8,28 63,32544 63,24264 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-22 7,608 7,598 8,3 8,3 63,1464 63,0634 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-23 7,73 7,72 8,33 8,33 64,3909 64,3076 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-27 7,73 7,72 8,25 8,25 63,7725 63,69 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-28 7,76 7,75 8,26 8,26 64,0976 64,015 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-29 7,833 7,823 8,25 8,25 64,62225 64,53975 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-06-30 7,823 7,813 8,26 8,26 64,61798 64,53538 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-01 7,858 7,848 8,24 8,24 64,74992 64,66752 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-04 7,945 7,935 8,24 8,24 65,4668 65,3844 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-05 7,963 7,953 8,2 8,2 65,2966 65,2146 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-06 7,895 7,885 8,23 8,23 64,97585 64,89355 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-07 7,878 7,868 8,2 8,2 64,5996 64,5176 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-08 7,913 7,903 8,18 8,18 64,72834 64,64654 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-11 7,89 7,88 8,27 8,27 65,2503 65,1676 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-12 7,77 7,76 8,37 8,37 65,0349 64,9512 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-13 7,703 7,693 8,39 8,39 64,62817 64,54427 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-14 7,76 7,75 8,39 8,39 65,1064 65,0225 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-15 7,76 7,75 8,38 8,38 65,0288 64,945 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-18 7,78 7,77 8,36 8,36 65,0408 64,9572 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-19 7,878 7,868 8,32 8,32 65,54496 65,46176 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-20 7,818 7,808 8,4 8,4 65,6712 65,5872 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-21 7,775 7,765 8,41 8,41 65,38775 65,30365 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-22 7,758 7,748 8,41 8,41 65,24478 65,16068 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-25 7,838 7,828 8,42 8,42 65,99596 65,91176 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-26 7,818 7,808 8,37 8,37 65,43666 65,35296 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-27 7,905 7,895 8,37 8,37 66,16485 66,08115 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-28 7,848 7,838 8,43 8,43 66,15864 66,07434 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-07-29 7,748 7,738 8,47 8,47 65,62556 65,54086 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-02 7,7 7,69 8,54 8,54 65,758 65,6726 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-03 7,685 7,675 8,61 8,61 66,16785 66,08175 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-04 7,618 7,608 8,59 8,59 65,43862 65,35272 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-05 7,548 7,538 8,55 8,55 64,5354 64,4499 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-08 7,558 7,548 8,49 8,49 64,16742 64,08252 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-09 7,548 7,538 8,48 8,48 64,00704 63,92224 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-10 7,558 7,548 8,75 8,75 66,1325 66,045 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-11 7,523 7,513 8,64 8,64 64,99872 64,91232 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-12 7,46 7,45 8,62 8,62 64,3052 64,219 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-15 7,508 7,498 8,56 8,56 64,26848 64,18288 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-16 7,523 7,513 8,57 8,57 64,47211 64,38641 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-17 7,605 7,595 8,49 8,49 64,56645 64,48155 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-18 7,61 7,6 8,44 8,44 64,2284 64,144 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-19 7,698 7,688 8,39 8,39 64,58622 64,50232 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-22 7,69 7,68 8,47 8,47 65,1343 65,0496 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-23 7,663 7,653 8,49 8,49 65,05887 64,97397 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-24 7,673 7,663 8,41 8,41 64,52993 64,44583 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-25 7,588 7,578 8,39 8,39 63,66332 63,57942 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-26 7,578 7,568 8,45 8,45 64,0341 63,9496 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-30 7,633 7,623 8,35 8,35 63,73555 63,65205 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-08-31 7,668 7,658 8,33 8,33 63,87444 63,79114 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-01 7,568 7,558 8,51 8,51 64,40368 64,31858 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-02 7,435 7,425 8,61 8,61 64,01535 63,92925 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-05 7,41 7,4 8,63 8,63 63,9483 63,862 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-06 7,485 7,475 8,61 8,61 64,44585 64,35975 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-07 7,43 7,42 8,67 8,67 64,4181 64,3314 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-08 7,498 7,488 8,65 8,65 64,8577 64,7712 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-09 7,523 7,513 8,71 8,71 65,52533 65,43823 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-12 7,555 7,545 8,78 8,78 66,3329 66,2451 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-13 7,57 7,56 8,77 8,77 66,3889 66,3012 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-14 7,61 7,6 8,74 8,74 66,5114 66,424 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-15 7,658 7,648 8,78 8,78 67,23724 67,14944 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-16 7,613 7,603 8,83 8,83 67,22279 67,13449 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-19 7,698 7,688 8,85 8,85 68,1273 68,0388 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-20 7,688 7,678 8,91 8,91 68,50008 68,41098 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-21 7,663 7,653 8,88 8,88 68,04744 67,95864 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-22 7,648 7,638 8,86 8,86 67,76128 67,67268 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-23 7,733 7,723 8,8 8,8 68,0504 67,9624 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-26 7,798 7,788 8,84 8,84 68,93432 68,84592 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-27 7,825 7,815 8,83 8,83 69,09475 69,00645 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-28 7,81 7,8 8,87 8,87 69,2747 69,186 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-29 7,785 7,775 8,92 8,92 69,4422 69,353 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-09-30 7,785 7,775 8,97 8,97 69,83145 69,74175 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-03 7,783 7,773 8,96 8,96 69,73568 69,64608 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-04 7,82 7,81 9,01 9,01 70,4582 70,3681 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-05 7,795 7,785 8,91 8,91 69,45345 69,36435 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-06 7,713 7,703 8,75 8,75 67,48875 67,40125 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-07 7,683 7,673 8,74 8,74 67,14942 67,06202 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-10 7,698 7,688 8,81 8,81 67,81938 67,73128 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-11 7,77 7,76 8,78 8,78 68,2206 68,1328 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-12 7,805 7,795 8,74 8,74 68,2157 68,1283 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-13 7,83 7,82 8,62 8,62 67,4946 67,4084 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-14 7,833 7,823 8,57 8,57 67,12881 67,04311 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-17 7,835 7,825 8,62 8,62 67,5377 67,4515 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-18 7,893 7,883 8,62 8,62 68,03766 67,95146 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-19 7,96 7,95 8,43 8,43 67,1028 67,0185 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-20 7,93 7,92 8,47 8,47 67,1671 67,0824 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-21 7,883 7,873 8,39 8,39 66,13837 66,05447 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-24 7,995 7,985 8,41 8,41 67,23795 67,15385 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-25 7,99 7,98 8,52 8,52 68,0748 67,9896 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-26 7,868 7,858 8,57 8,57 67,42876 67,34306 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-27 7,868 7,858 8,55 8,55 67,2714 67,1859 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-10-28 7,825 7,815 8,44 8,44 66,043 65,9586 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-01 7,963 7,953 8,65 8,65 68,87995 68,79345 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-02 7,98 7,97 8,7 8,7 69,426 69,339 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-03 8,01 8 8,83 8,83 70,7283 70,64 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-04 8,028 8,018 8,86 8,86 71,12808 71,03948 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-07 8,135 8,125 8,81 8,81 71,66935 71,58125 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-08 8,17 8,16 8,79 8,79 71,8143 71,7264 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-09 8,12 8,11 8,79 8,79 71,3748 71,2869 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-10 8,173 8,163 8,83 8,83 72,16759 72,07929 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-11 8,235 8,225 8,84 8,84 72,7974 72,709 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-14 8,133 8,123 8,84 8,84 71,89572 71,80732 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-15 8,185 8,175 8,76 8,76 71,7006 71,613 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-16 8,21 8,2 8,73 8,73 71,6733 71,586 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-17 8,258 8,248 8,86 8,86 73,16588 73,07728 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-18 8,223 8,213 8,93 8,93 73,43139 73,34209 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-21 8,123 8,113 8,96 8,96 72,78208 72,69248 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-22 8,15 8,14 8,92 8,92 72,698 72,6088 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-23 8,048 8,038 9,04 9,04 72,75392 72,66352 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-24 8,053 8,043 9,03 9,03 72,71859 72,62829 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-25 8,078 8,068 9,05 9,05 73,1059 73,0154 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-28 8,118 8,108 9,05 9,05 73,4679 73,3774 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-29 8,015 8,005 9,06 9,06 72,6159 72,5253 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-11-30 8,088 8,078 9,07 9,07 73,35816 73,26746 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-01 8,083 8,073 9,09 9,09 73,47447 73,38357 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-02 8,103 8,093 9,21 9,21 74,62863 74,53653 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-05 8,045 8,035 9,23 9,23 74,25535 74,16305 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-06 7,993 7,983 9,24 9,24 73,85532 73,76292 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-07 8,015 8,005 9,35 9,35 74,94025 74,84675 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-08 7,988 7,978 9,29 9,29 74,20852 74,11562 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-12 7,953 7,943 9,39 9,39 74,67867 74,58477 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-13 7,905 7,895 9,41 9,41 74,38605 74,29195 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-14 7,848 7,838 9,42 9,42 73,92816 73,83396 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-15 7,858 7,848 9,41 9,41 73,94378 73,84968 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-16 7,903 7,893 9,4 9,4 74,2882 74,1942 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-19 7,865 7,855 9,44 9,44 74,2456 74,1512 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-20 7,848 7,838 9,4 9,4 73,7712 73,6772 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-21 7,948 7,938 9,44 9,44 75,02912 74,93472 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-22 7,98 7,97 9,44 9,44 75,3312 75,2368 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-23 7,955 7,945 9,5 9,5 75,5725 75,4775 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-29 7,938 7,928 9,54 9,54 75,72852 75,63312 872440 Baring International Fund Managers (Ireland) Ltd Baring Leading Sectors Fund USD 2005-12-30 7,958 7,948 9,54 9,54 75,91932 75,82392 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-04 6,728 6,718 62,48 62,48 420,36544 419,74064 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-05 6,828 6,818 61,6 61,6 420,6048 419,9888 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-07 6,87 6,86 61,6 61,6 423,192 422,576 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-10 6,96091 6,95091 61,62 61,62 428,9312742 428,3150742 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-11 6,96091 6,95091 61,8 61,8 430,184238 429,566238 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-12 6,913 6,903 61,37 61,37 424,25081 423,63711 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-13 6,843 6,833 61,73 61,73 422,41839 421,80109 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-14 6,915 6,905 61,31 61,31 423,95865 423,34555 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-17 6,915 6,905 61,71 61,71 426,72465 426,10755 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-18 6,968 6,958 61,71 61,71 429,99528 429,37818 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-19 6,91 6,9 62,12 62,12 429,2492 428,628 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-20 6,96 6,95 61,52 61,52 428,1792 427,564 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-21 6,978 6,968 61,14 61,14 426,63492 426,02352 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-24 6,933 6,923 60,82 60,82 421,66506 421,05686 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-25 6,95 6,94 60,61 60,61 421,2395 420,6334 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-26 6,995 6,985 60,8 60,8 425,296 424,688 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-27 6,93 6,92 61,16 61,16 423,8388 423,2272 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-28 6,985 6,975 61,15 61,15 427,13275 426,52125 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-01-31 6,998 6,988 61,02 61,02 427,01796 426,40776 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-01 6,993 6,983 61,59 61,59 430,69887 430,08297 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-02 6,953 6,943 61,78 61,78 429,55634 428,93854 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-03 6,968 6,958 61,9 61,9 431,3192 430,7002 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-04 7,01 7 61,45 61,45 430,7645 430,15 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-07 7,065 7,055 62,3 62,3 440,1495 439,5265 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-08 7,123 7,113 62,31 62,31 443,83413 443,21103 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-09 7,1 7,09 62,44 62,44 443,324 442,6996 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-10 7,088 7,078 61,79 61,79 437,96752 437,34962 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-11 7,068 7,058 62,08 62,08 438,78144 438,16064 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-14 7,03 7,02 62,59 62,59 440,0077 439,3818 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-15 7,005 6,995 62,44 62,44 437,3922 436,7678 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-16 6,973 6,963 62,46 62,46 435,53358 434,90898 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-17 6,97 6,96 62,8 62,8 437,716 437,088 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-18 6,965 6,955 62,24 62,24 433,5016 432,8792 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-21 6,978 6,968 62,25 62,25 434,3805 433,758 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-22 6,905 6,895 62,25 62,25 429,83625 429,21375 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-23 6,895 6,885 61,37 61,37 423,14615 422,53245 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-24 6,858 6,848 61,81 61,81 423,89298 423,27488 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-25 6,885 6,875 62,41 62,41 429,69285 429,06875 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-02-28 6,828 6,818 63,08 63,08 430,71024 430,07944 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-01 6,87 6,86 62,81 62,81 431,5047 430,8766 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-02 6,888 6,878 63 63 433,944 433,314 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-03 6,903 6,893 63,14 63,14 435,85542 435,22402 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-04 6,9 6,89 63,22 63,22 436,218 435,5858 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-07 6,84 6,83 63,91 63,91 437,1444 436,5053 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-08 6,825 6,815 64,11 64,11 437,55075 436,90965 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-09 6,76 6,75 63,85 63,85 431,626 430,9875 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-10 6,745 6,735 63,3 63,3 426,9585 426,3255 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-11 6,765 6,755 63,34 63,34 428,4951 427,8617 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-14 6,76 6,75 62,93 62,93 425,4068 424,7775 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-15 6,815 6,805 63,05 63,05 429,68575 429,05525 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-16 6,81 6,8 62,72 62,72 427,1232 426,496 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-18 6,828 6,818 62,54 62,54 427,02312 426,39772 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-21 6,908 6,898 62,43 62,43 431,26644 430,64214 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-22 6,928 6,918 61,98 61,98 429,39744 428,77764 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-23 6,973 6,963 61,26 61,26 427,16598 426,55338 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-24 7,008 6,998 61,12 61,12 428,32896 427,71776 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-29 7,055 7,045 61,01 61,01 430,42555 429,81545 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-30 7,053 7,043 60,14 60,14 424,16742 423,56602 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-03-31 7,065 7,055 61,11 61,11 431,74215 431,13105 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-01 7,07 7,06 61,19 61,19 432,6133 432,0014 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-04 7,113 7,103 60,82 60,82 432,61266 432,00446 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-05 7,163 7,153 60,83 60,83 435,72529 435,11699 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-06 7,125 7,115 61,08 61,08 435,195 434,5842 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-07 7,083 7,073 61,21 61,21 433,55043 432,93833 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-08 7,153 7,143 61,66 61,66 441,05398 440,43738 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-11 7,098 7,088 61,03 61,03 433,19094 432,58064 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-12 7,048 7,038 60,97 60,97 429,71656 429,10686 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-13 7,075 7,065 61,27 61,27 433,48525 432,87255 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-14 7,12 7,11 60,25 60,25 428,98 428,3775 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-15 7,17 7,16 59,43 59,43 426,1131 425,5188 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-18 7,08 7,07 58,57 58,57 414,6756 414,0899 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-19 7,068 7,058 58,83 58,83 415,81044 415,22214 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-20 7,043 7,033 59,38 59,38 418,21334 417,61954 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-21 7,025 7,015 58,91 58,91 413,84275 413,25365 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-22 7,023 7,013 60,94 60,94 427,98162 427,37222 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-25 7,04 7,03 60,35 60,35 424,864 424,2605 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-26 7,035 7,025 60,82 60,82 427,8687 427,2605 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-27 7,085 7,075 60,17 60,17 426,30445 425,70275 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-28 7,085 7,075 60,26 60,26 426,9421 426,3395 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-04-29 7,08 7,07 59,51 59,51 421,3308 420,7357 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-03 7,178 7,168 60,47 60,47 434,05366 433,44896 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-04 7,11 7,1 60,22 60,22 428,1642 427,562 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-06 7,085 7,075 60,9 60,9 431,4765 430,8675 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-09 7,168 7,158 60,82 60,82 435,95776 435,34956 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-10 7,178 7,168 61,22 61,22 439,43716 438,82496 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-11 7,15 7,14 60,52 60,52 432,718 432,1128 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-12 7,243 7,233 60,86 60,86 440,80898 440,20038 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-13 7,265 7,255 60,01 60,01 435,97265 435,37255 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-16 7,32 7,31 59,73 59,73 437,2236 436,6263 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-17 7,313 7,303 60,36 60,36 441,41268 440,80908 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-18 7,3 7,29 60,87 60,87 444,351 443,7423 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-19 7,26 7,25 60,87 60,87 441,9162 441,3075 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-20 7,28 7,27 61,88 61,88 450,4864 449,8676 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-23 7,32 7,31 61,8 61,8 452,376 451,758 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-24 7,295 7,285 62,09 62,09 452,94655 452,32565 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-25 7,298 7,288 62,13 62,13 453,42474 452,80344 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-26 7,33 7,32 61,84 61,84 453,2872 452,6688 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-27 7,338 7,328 62,28 62,28 457,01064 456,38784 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-05-31 7,403 7,393 62,41 62,41 462,02123 461,39713 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-01 7,428 7,418 62,13 62,13 461,50164 460,88034 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-02 7,473 7,463 62,61 62,61 467,88453 467,25843 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-03 7,438 7,428 62,78 62,78 466,95764 466,32984 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-07 7,448 7,438 62,45 62,45 465,1276 464,5031 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-08 7,435 7,425 62,58 62,58 465,2823 464,6565 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-09 7,523 7,513 62,5 62,5 470,1875 469,5625 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-10 7,525 7,515 62,88 62,88 473,172 472,5432 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-13 7,643 7,633 62,7 62,7 479,2161 478,5891 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-14 7,663 7,653 62,86 62,86 481,69618 481,06758 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-15 7,693 7,683 63,01 63,01 484,73593 484,10583 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-16 7,678 7,668 63,24 63,24 485,55672 484,92432 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-17 7,643 7,633 63,62 63,62 486,24766 485,61146 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-20 7,543 7,533 63,97 63,97 482,52571 481,88601 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-21 7,648 7,638 63,79 63,79 487,86592 487,22802 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-22 7,608 7,598 63,58 63,58 483,71664 483,08084 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-23 7,73 7,72 63,65 63,65 492,0145 491,378 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-27 7,73 7,72 62,46 62,46 482,8158 482,1912 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-28 7,76 7,75 62,41 62,41 484,3016 483,6775 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-29 7,833 7,823 63,02 63,02 493,63566 493,00546 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-06-30 7,823 7,813 63,03 63,03 493,08369 492,45339 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-01 7,858 7,848 62,56 62,56 491,59648 490,97088 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-04 7,945 7,935 62,83 62,83 499,18435 498,55605 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-05 7,963 7,953 62,82 62,82 500,23566 499,60746 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-06 7,895 7,885 63,53 63,53 501,56935 500,93405 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-07 7,878 7,868 63,28 63,28 498,51984 497,88704 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-08 7,913 7,903 63,5 63,5 502,4755 501,8405 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-11 7,89 7,88 64,3 64,3 507,327 506,684 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-12 7,77 7,76 64,65 64,65 502,3305 501,684 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-13 7,703 7,693 64,82 64,82 499,30846 498,66026 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-14 7,76 7,75 64,69 64,69 501,9944 501,3475 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-15 7,76 7,75 64,81 64,81 502,9256 502,2775 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-18 7,78 7,77 64,91 64,91 504,9998 504,3507 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-19 7,878 7,868 64,47 64,47 507,89466 507,24996 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-20 7,818 7,808 65,16 65,16 509,42088 508,76928 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-21 7,775 7,765 65,82 65,82 511,7505 511,0923 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-22 7,758 7,748 65,48 65,48 507,99384 507,33904 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-25 7,838 7,828 65,82 65,82 515,89716 515,23896 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-26 7,818 7,808 65,29 65,29 510,43722 509,78432 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-27 7,905 7,895 65,58 65,58 518,4099 517,7541 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-28 7,848 7,838 65,72 65,72 515,77056 515,11336 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-07-29 7,748 7,738 66,07 66,07 511,91036 511,24966 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-02 7,7 7,69 65,72 65,72 506,044 505,3868 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-03 7,685 7,675 66,37 66,37 510,05345 509,38975 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-04 7,618 7,608 66,31 66,31 505,14958 504,48648 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-05 7,548 7,538 65,87 65,87 497,18676 496,52806 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-08 7,558 7,548 65,5 65,5 495,049 494,394 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-09 7,548 7,538 65,42 65,42 493,79016 493,13596 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-10 7,558 7,548 65,91 65,91 498,14778 497,48868 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-11 7,523 7,513 65,98 65,98 496,36754 495,70774 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-12 7,46 7,45 66,62 66,62 496,9852 496,319 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-15 7,508 7,498 66,2 66,2 497,0296 496,3676 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-16 7,523 7,513 66,31 66,31 498,85013 498,18703 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-17 7,605 7,595 65,47 65,47 497,89935 497,24465 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-18 7,61 7,6 65,43 65,43 497,9223 497,268 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-19 7,698 7,688 65,31 65,31 502,75638 502,10328 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-22 7,69 7,68 65,4 65,4 502,926 502,272 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-23 7,663 7,653 65,58 65,58 502,53954 501,88374 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-24 7,673 7,663 65,29 65,29 500,97017 500,31727 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-25 7,588 7,578 64,86 64,86 492,15768 491,50908 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-26 7,578 7,568 65,06 65,06 493,02468 492,37408 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-30 7,633 7,623 65,01 65,01 496,22133 495,57123 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-08-31 7,668 7,658 65 65 498,42 497,77 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-01 7,568 7,558 65,78 65,78 497,82304 497,16524 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-02 7,435 7,425 65,99 65,99 490,63565 489,97575 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-05 7,41 7,4 65,78 65,78 487,4298 486,772 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-06 7,485 7,475 65,78 65,78 492,3633 491,7055 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-07 7,43 7,42 66,41 66,41 493,4263 492,7622 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-08 7,498 7,488 66,56 66,56 499,06688 498,40128 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-09 7,523 7,513 66,4 66,4 499,5272 498,8632 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-12 7,555 7,545 66,97 66,97 505,95835 505,28865 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-13 7,57 7,56 66,92 66,92 506,5844 505,9152 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-14 7,61 7,6 66,43 66,43 505,5323 504,868 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-15 7,658 7,648 66,16 66,16 506,65328 505,99168 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-16 7,613 7,603 66,15 66,15 503,59995 502,93845 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-19 7,698 7,688 66,73 66,73 513,68754 513,02024 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-20 7,688 7,678 66,4 66,4 510,4832 509,8192 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-21 7,663 7,653 65,85 65,85 504,60855 503,95005 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-22 7,648 7,638 65,3 65,3 499,4144 498,7614 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-23 7,733 7,723 65,64 65,64 507,59412 506,93772 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-26 7,798 7,788 65,8 65,8 513,1084 512,4504 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-27 7,825 7,815 65,84 65,84 515,198 514,5396 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-28 7,81 7,8 65,72 65,72 513,2732 512,616 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-29 7,785 7,775 65,8 65,8 512,253 511,595 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-09-30 7,785 7,775 66,28 66,28 515,9898 515,327 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-03 7,783 7,773 66,52 66,52 517,72516 517,05996 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-04 7,82 7,81 66,5 66,5 520,03 519,365 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-05 7,795 7,785 65,79 65,79 512,83305 512,17515 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-06 7,713 7,703 64,79 64,79 499,72527 499,07737 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-07 7,683 7,673 64,35 64,35 494,40105 493,75755 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-10 7,698 7,688 64,83 64,83 499,06134 498,41304 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-11 7,77 7,76 64,41 64,41 500,4657 499,8216 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-12 7,805 7,795 64,29 64,29 501,78345 501,14055 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-13 7,83 7,82 63,78 63,78 499,3974 498,7596 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-14 7,833 7,823 63,76 63,76 499,43208 498,79448 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-17 7,835 7,825 64,39 64,39 504,49565 503,85175 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-18 7,893 7,883 64,81 64,81 511,54533 510,89723 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-19 7,96 7,95 64,06 64,06 509,9176 509,277 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-20 7,93 7,92 65,14 65,14 516,5602 515,9088 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-21 7,883 7,873 64,28 64,28 506,71924 506,07644 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-24 7,995 7,985 64,28 64,28 513,9186 513,2758 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-25 7,99 7,98 65,41 65,41 522,6259 521,9718 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-26 7,868 7,858 65,21 65,21 513,07228 512,42018 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-27 7,868 7,858 64,99 64,99 511,34132 510,69142 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-10-28 7,825 7,815 64,33 64,33 503,38225 502,73895 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-01 7,963 7,953 65,89 65,89 524,68207 524,02317 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-02 7,98 7,97 65,54 65,54 523,0092 522,3538 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-03 8,01 8 66,38 66,38 531,7038 531,04 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-04 8,028 8,018 66,82 66,82 536,43096 535,76276 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-07 8,135 8,125 66,78 66,78 543,2553 542,5875 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-08 8,17 8,16 66,83 66,83 546,0011 545,3328 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-09 8,12 8,11 66,71 66,71 541,6852 541,0181 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-10 8,173 8,163 66,79 66,79 545,87467 545,20677 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-11 8,235 8,225 67,2 67,2 553,392 552,72 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-14 8,133 8,123 67,41 67,41 548,24553 547,57143 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-15 8,185 8,175 67,03 67,03 548,64055 547,97025 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-16 8,21 8,2 66,63 66,63 547,0323 546,366 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-17 8,258 8,248 66,83 66,83 551,88214 551,21384 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-18 8,223 8,213 67,45 67,45 554,64135 553,96685 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-21 8,123 8,113 67,7 67,7 549,9271 549,2501 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-22 8,15 8,14 68,29 68,29 556,5635 555,8806 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-23 8,048 8,038 68,63 68,63 552,33424 551,64794 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-24 8,053 8,043 68,88 68,88 554,69064 554,00184 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-25 8,078 8,068 68,89 68,89 556,49342 555,80452 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-28 8,118 8,108 69,11 69,11 561,03498 560,34388 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-29 8,015 8,005 68,36 68,36 547,9054 547,2218 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-11-30 8,088 8,078 68,36 68,36 552,89568 552,21208 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-01 8,083 8,073 68,13 68,13 550,69479 550,01349 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-02 8,103 8,093 68,98 68,98 558,94494 558,25514 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-05 8,045 8,035 69 69 555,105 554,415 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-06 7,993 7,983 68,92 68,92 550,87756 550,18836 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-07 8,015 8,005 68,91 68,91 552,31365 551,62455 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-08 7,988 7,978 68,57 68,57 547,73716 547,05146 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-12 7,953 7,943 68,61 68,61 545,65533 544,96923 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-13 7,905 7,895 68,64 68,64 542,5992 541,9128 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-14 7,848 7,838 68,8 68,8 539,9424 539,2544 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-15 7,858 7,848 69,05 69,05 542,5949 541,9044 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-16 7,903 7,893 69,05 69,05 545,70215 545,01165 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-19 7,865 7,855 68,81 68,81 541,19065 540,50255 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-20 7,848 7,838 68,27 68,27 535,78296 535,10026 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-21 7,948 7,938 68,29 68,29 542,76892 542,08602 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-22 7,98 7,97 68,51 68,51 546,7098 546,0247 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-23 7,955 7,945 68,92 68,92 548,2586 547,5694 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-29 7,938 7,928 68,43 68,43 543,19734 542,51304 441899 Baring International Fund Managers (Ireland) Ltd Baring North America Fund USD 2005-12-30 7,958 7,948 68,29 68,29 543,45182 542,76892 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-03 6,668 6,658 884,79 884,79 5899,77972 5890,93182 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-04 6,728 6,718 884,95 884,95 5953,9436 5945,0941 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-05 6,828 6,818 881,47 881,47 6018,67716 6009,86246 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-07 6,87 6,86 883,06 883,06 6066,6222 6057,7916 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-10 6,96091 6,95091 883,03 883,03 6146,6923573 6137,8620573 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-11 6,96091 6,95091 883,16 883,16 6147,5972756 6138,7656756 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-12 6,913 6,903 884,44 884,44 6114,13372 6105,28932 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-13 6,843 6,833 884,95 884,95 6055,71285 6046,86335 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-14 6,915 6,905 888,52 888,52 6144,1158 6135,2306 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-17 6,915 6,905 886,33 886,33 6128,97195 6120,10865 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-18 6,968 6,958 886,51 886,51 6177,20168 6168,33658 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-19 6,91 6,9 887,73 887,73 6134,2143 6125,337 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-20 6,96 6,95 888,53 888,53 6184,1688 6175,2835 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-21 6,978 6,968 889,23 889,23 6205,04694 6196,15464 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-24 6,933 6,923 890,65 890,65 6174,87645 6165,96995 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-25 6,95 6,94 891,68 891,68 6197,176 6188,2592 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-26 6,995 6,985 888,06 888,06 6211,9797 6203,0991 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-27 6,93 6,92 888,23 888,23 6155,4339 6146,5516 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-28 6,985 6,975 887,34 887,34 6198,0699 6189,1965 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-01-31 6,998 6,988 891,2 891,2 6236,6176 6227,7056 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-01 6,993 6,983 891,49 891,49 6234,18957 6225,27467 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-02 6,953 6,943 891,13 891,13 6196,02689 6187,11559 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-03 6,968 6,958 891,11 891,11 6209,25448 6200,34338 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-04 7,01 7 890,25 890,25 6240,6525 6231,75 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-07 7,065 7,055 894,79 894,79 6321,69135 6312,74345 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-08 7,123 7,113 896,63 896,63 6386,69549 6377,72919 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-09 7,1 7,09 898,13 898,13 6376,723 6367,7417 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-10 7,088 7,078 900,06 900,06 6379,62528 6370,62468 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-11 7,068 7,058 895,55 895,55 6329,7474 6320,7919 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-14 7,03 7,02 895,17 895,17 6293,0451 6284,0934 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-15 7,005 6,995 895,8 895,8 6275,079 6266,121 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-16 6,973 6,963 894,56 894,56 6237,76688 6228,82128 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-17 6,97 6,96 892,03 892,03 6217,4491 6208,5288 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-18 6,965 6,955 891,07 891,07 6206,30255 6197,39185 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-21 6,978 6,968 887,43 887,43 6192,48654 6183,61224 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-22 6,905 6,895 887,53 887,53 6128,39465 6119,51935 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-23 6,895 6,885 886,4 886,4 6111,728 6102,864 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-24 6,858 6,848 887,44 887,44 6086,06352 6077,18912 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-25 6,885 6,875 886 886 6100,11 6091,25 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-02-28 6,828 6,818 887,04 887,04 6056,70912 6047,83872 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-01 6,87 6,86 882,16 882,16 6060,4392 6051,6176 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-02 6,888 6,878 882,7 882,7 6080,0376 6071,2106 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-03 6,903 6,893 882,29 882,29 6090,44787 6081,62497 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-04 6,9 6,89 882,13 882,13 6086,697 6077,8757 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-07 6,84 6,83 885,59 885,59 6057,4356 6048,5797 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-08 6,825 6,815 885,84 885,84 6045,858 6036,9996 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-09 6,76 6,75 882,26 882,26 5964,0776 5955,255 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-10 6,745 6,735 876,59 876,59 5912,59955 5903,83365 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-11 6,765 6,755 878,47 878,47 5942,84955 5934,06485 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-14 6,76 6,75 875,63 875,63 5919,2588 5910,5025 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-15 6,815 6,805 876,84 876,84 5975,6646 5966,8962 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-16 6,81 6,8 875,29 875,29 5960,7249 5951,972 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-17 6,795 6,785 877,16 877,16 5960,3022 5951,5306 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-18 6,828 6,818 878,95 878,95 6001,4706 5992,6811 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-21 6,908 6,898 877,56 877,56 6062,18448 6053,40888 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-22 6,928 6,918 876,98 876,98 6075,71744 6066,94764 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-23 6,973 6,963 871,91 871,91 6079,82843 6071,10933 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-24 7,008 6,998 873,8 873,8 6123,5904 6114,8524 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-29 7,055 7,045 871,79 871,79 6150,47845 6141,76055 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-30 7,053 7,043 874,43 874,43 6167,35479 6158,61049 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-03-31 7,065 7,055 876,15 876,15 6189,99975 6181,23825 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-01 7,07 7,06 879,34 879,34 6216,9338 6208,1404 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-04 7,113 7,103 881,43 881,43 6269,61159 6260,79729 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-05 7,163 7,153 881,28 881,28 6312,60864 6303,79584 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-06 7,125 7,115 880,76 880,76 6275,415 6266,6074 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-07 7,083 7,073 882,6 882,6 6251,4558 6242,6298 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-08 7,153 7,143 879,95 879,95 6294,28235 6285,48285 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-11 7,098 7,088 880,7 880,7 6251,2086 6242,4016 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-12 7,048 7,038 882,57 882,57 6220,35336 6211,52766 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-13 7,075 7,065 886,05 886,05 6268,80375 6259,94325 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-14 7,12 7,11 885,91 885,91 6307,6792 6298,8201 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-15 7,17 7,16 888,19 888,19 6368,3223 6359,4404 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-18 7,08 7,07 892,41 892,41 6318,2628 6309,3387 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-19 7,068 7,058 890,93 890,93 6297,09324 6288,18394 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-20 7,043 7,033 894,26 894,26 6298,27318 6289,33058 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-21 7,025 7,015 895,03 895,03 6287,58575 6278,63545 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-22 7,023 7,013 889,82 889,82 6249,20586 6240,30766 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-25 7,04 7,03 892,32 892,32 6281,9328 6273,0096 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-26 7,035 7,025 892,54 892,54 6279,0189 6270,0935 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-27 7,085 7,075 891,79 891,79 6318,33215 6309,41425 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-28 7,085 7,075 893,78 893,78 6332,4313 6323,4935 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-04-29 7,08 7,07 897,93 897,93 6357,3444 6348,3651 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-02 7,15 7,14 895,27 895,27 6401,1805 6392,2278 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-03 7,178 7,168 895,96 895,96 6431,20088 6422,24128 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-04 7,11 7,1 896,96 896,96 6377,3856 6368,416 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-06 7,085 7,075 897,68 897,68 6360,0628 6351,086 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-09 7,168 7,158 892,56 892,56 6397,87008 6388,94448 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-10 7,178 7,168 891,85 891,85 6401,6993 6392,7808 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-11 7,15 7,14 895,45 895,45 6402,4675 6393,513 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-12 7,243 7,233 896,13 896,13 6490,66959 6481,70829 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-13 7,265 7,255 897,55 897,55 6520,70075 6511,72525 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-17 7,313 7,303 899,34 899,34 6576,87342 6567,88002 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-18 7,3 7,29 900,26 900,26 6571,898 6562,8954 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-19 7,26 7,25 901,88 901,88 6547,6488 6538,63 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-20 7,28 7,27 900,4 900,4 6554,912 6545,908 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-23 7,32 7,31 900,06 900,06 6588,4392 6579,4386 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-24 7,295 7,285 903,57 903,57 6591,54315 6582,50745 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-25 7,298 7,288 905,1 905,1 6605,4198 6596,3688 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-26 7,33 7,32 902,41 902,41 6614,6653 6605,6412 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-27 7,338 7,328 902,62 902,62 6623,42556 6614,39936 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-30 7,338 7,328 903,05 903,05 6626,5809 6617,5504 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-05-31 7,403 7,393 903,14 903,14 6685,94542 6676,91402 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-01 7,428 7,418 907,92 907,92 6744,02976 6734,95056 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-02 7,473 7,463 912,97 912,97 6822,62481 6813,49511 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-03 7,438 7,428 912,4 912,4 6786,4312 6777,3072 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-07 7,448 7,438 910,38 910,38 6780,51024 6771,40644 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-08 7,435 7,425 912,85 912,85 6787,03975 6777,91125 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-09 7,523 7,513 911,2 911,2 6854,9576 6845,8456 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-10 7,525 7,515 910,47 910,47 6851,28675 6842,18205 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-13 7,643 7,633 905,65 905,65 6921,88295 6912,82645 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-14 7,663 7,653 903,75 903,75 6925,43625 6916,39875 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-15 7,693 7,683 902,76 902,76 6944,93268 6935,90508 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-16 7,678 7,668 902,89 902,89 6932,38942 6923,36052 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-17 7,643 7,633 904,68 904,68 6914,46924 6905,42244 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-20 7,543 7,533 904,68 904,68 6824,00124 6814,95444 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-21 7,648 7,638 903,23 903,23 6907,90304 6898,87074 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-22 7,608 7,598 906,59 906,59 6897,33672 6888,27082 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-27 7,73 7,72 913,02 913,02 7057,6446 7048,5144 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-28 7,76 7,75 914,12 914,12 7093,5712 7084,43 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-29 7,833 7,823 910,77 910,77 7134,06141 7124,95371 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-06-30 7,823 7,813 910,31 910,31 7121,35513 7112,25203 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-01 7,858 7,848 913,59 913,59 7178,99022 7169,85432 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-04 7,945 7,935 907,74 907,74 7211,9943 7202,9169 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-05 7,963 7,953 907,86 907,86 7229,28918 7220,21058 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-06 7,895 7,885 904,57 904,57 7141,58015 7132,53445 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-07 7,878 7,868 906,34 906,34 7140,14652 7131,08312 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-08 7,913 7,903 907,14 907,14 7178,19882 7169,12742 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-11 7,89 7,88 905,77 905,77 7146,5253 7137,4676 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-12 7,77 7,76 905,51 905,51 7035,8127 7026,7576 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-13 7,703 7,693 903,31 903,31 6958,19693 6949,16383 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-14 7,76 7,75 902,83 902,83 7005,9608 6996,9325 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-15 7,76 7,75 901,89 901,89 6998,6664 6989,6475 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-18 7,78 7,77 902,71 902,71 7023,0838 7014,0567 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-19 7,878 7,868 899,96 899,96 7089,88488 7080,88528 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-20 7,818 7,808 901,72 901,72 7049,64696 7040,62976 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-21 7,775 7,765 902,95 902,95 7020,43625 7011,40675 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-22 7,758 7,748 897,73 897,73 6964,58934 6955,61204 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-25 7,838 7,828 900,75 900,75 7060,0785 7051,071 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-26 7,818 7,808 899,34 899,34 7031,04012 7022,04672 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-27 7,905 7,895 900,22 900,22 7116,2391 7107,2369 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-28 7,848 7,838 898,85 898,85 7054,1748 7045,1863 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-07-29 7,748 7,738 902,03 902,03 6988,92844 6979,90814 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-01 7,72 7,71 898,24 898,24 6934,4128 6925,4304 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-02 7,7 7,69 896,79 896,79 6905,283 6896,3151 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-03 7,685 7,675 895,76 895,76 6883,9156 6874,958 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-04 7,618 7,608 897,86 897,86 6839,89748 6830,91888 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-05 7,548 7,538 896,95 896,95 6770,1786 6761,2091 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-08 7,558 7,548 893,61 893,61 6753,90438 6744,96828 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-09 7,548 7,538 892,02 892,02 6732,96696 6724,04676 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-10 7,558 7,548 893,82 893,82 6755,49156 6746,55336 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-11 7,523 7,513 893,72 893,72 6723,45556 6714,51836 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-12 7,46 7,45 897,15 897,15 6692,739 6683,7675 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-16 7,523 7,513 898,42 898,42 6758,81366 6749,82946 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-17 7,605 7,595 902,18 902,18 6861,0789 6852,0571 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-18 7,61 7,6 899,37 899,37 6844,2057 6835,212 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-19 7,698 7,688 902,58 902,58 6948,06084 6939,03504 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-22 7,69 7,68 902,59 902,59 6940,9171 6931,8912 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-23 7,663 7,653 902,62 902,62 6916,77706 6907,75086 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-24 7,673 7,663 904,11 904,11 6937,23603 6928,19493 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-25 7,588 7,578 904,65 904,65 6864,4842 6855,4377 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-26 7,578 7,568 905,23 905,23 6859,83294 6850,78064 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-29 7,573 7,563 904,07 904,07 6846,52211 6837,48141 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-30 7,633 7,623 904,83 904,83 6906,56739 6897,51909 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-08-31 7,668 7,658 908,55 908,55 6966,7614 6957,6759 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-01 7,568 7,558 912,76 912,76 6907,76768 6898,64008 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-02 7,435 7,425 912,48 912,48 6784,2888 6775,164 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-05 7,41 7,4 912,95 912,95 6764,9595 6755,83 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-06 7,485 7,475 913,07 913,07 6834,32895 6825,19825 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-07 7,43 7,42 910,13 910,13 6762,2659 6753,1646 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-08 7,498 7,488 907,56 907,56 6804,88488 6795,80928 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-09 7,523 7,513 907,02 907,02 6823,51146 6814,44126 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-12 7,555 7,545 908,55 908,55 6864,09525 6855,00975 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-13 7,57 7,56 906,12 906,12 6859,3284 6850,2672 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-14 7,61 7,6 908,24 908,24 6911,7064 6902,624 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-15 7,658 7,648 906,74 906,74 6943,81492 6934,74752 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-16 7,613 7,603 904,19 904,19 6883,59847 6874,55657 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-19 7,698 7,688 901,55 901,55 6940,1319 6931,1164 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-20 7,688 7,678 903,05 903,05 6942,6484 6933,6179 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-21 7,663 7,653 902,91 902,91 6918,99933 6909,97023 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-22 7,648 7,638 906,35 906,35 6931,7648 6922,7013 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-23 7,733 7,723 906,21 906,21 7007,72193 6998,65983 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-26 7,798 7,788 903,05 903,05 7041,9839 7032,9534 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-27 7,825 7,815 900,94 900,94 7049,8555 7040,8461 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-28 7,81 7,8 901,62 901,62 7041,6522 7032,636 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-29 7,785 7,775 902,65 902,65 7027,13025 7018,10375 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-09-30 7,785 7,775 900,78 900,78 7012,5723 7003,5645 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-03 7,783 7,773 899,12 899,12 6997,85096 6988,85976 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-04 7,82 7,81 896,39 896,39 7009,7698 7000,8059 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-05 7,795 7,785 897,32 897,32 6994,6094 6985,6362 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-06 7,713 7,703 898,69 898,69 6931,59597 6922,60907 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-07 7,683 7,673 896,64 896,64 6888,88512 6879,91872 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-10 7,698 7,688 898,69 898,69 6918,11562 6909,12872 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-11 7,77 7,76 898,82 898,82 6983,8314 6974,8432 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-12 7,805 7,795 897,13 897,13 7002,09965 6993,12835 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-13 7,83 7,82 894,56 894,56 7004,4048 6995,4592 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-14 7,833 7,823 893,6 893,6 6999,5688 6990,6328 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-17 7,835 7,825 892,99 892,99 6996,57665 6987,64675 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-18 7,893 7,883 892,31 892,31 7043,00283 7034,07973 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-19 7,96 7,95 893,43 893,43 7111,7028 7102,7685 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-20 7,93 7,92 893,83 893,83 7088,0719 7079,1336 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-21 7,883 7,873 895,11 895,11 7056,15213 7047,20103 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-24 7,995 7,985 898,03 898,03 7179,74985 7170,76955 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-25 7,99 7,98 894,95 894,95 7150,6505 7141,701 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-26 7,868 7,858 890,9 890,9 7009,6012 7000,6922 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-27 7,868 7,858 888,27 888,27 6988,90836 6980,02566 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-28 7,825 7,815 889,7 889,7 6961,9025 6953,0055 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-10-31 7,905 7,895 889,09 889,09 7028,25645 7019,36555 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-02 7,98 7,97 889,42 889,42 7097,5716 7088,6774 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-03 8,01 8 887,55 887,55 7109,2755 7100,4 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-04 8,028 8,018 884,8 884,8 7103,1744 7094,3264 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-07 8,135 8,125 884,33 884,33 7194,02455 7185,18125 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-08 8,17 8,16 886,08 886,08 7239,2736 7230,4128 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-09 8,12 8,11 889,47 889,47 7222,4964 7213,6017 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-10 8,173 8,163 885,35 885,35 7235,96555 7227,11205 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-11 8,235 8,225 890,08 890,08 7329,8088 7320,908 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-14 8,133 8,123 890,38 890,38 7241,46054 7232,55674 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-15 8,185 8,175 887,13 887,13 7261,15905 7252,28775 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-16 8,21 8,2 889,62 889,62 7303,7802 7294,884 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-17 8,258 8,248 894,21 894,21 7384,38618 7375,44408 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-18 8,223 8,213 894,91 894,91 7358,84493 7349,89583 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-21 8,123 8,113 893,6 893,6 7258,7128 7249,7768 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-22 8,15 8,14 895,01 895,01 7294,3315 7285,3814 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-23 8,048 8,038 896,77 896,77 7217,20496 7208,23726 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-24 8,053 8,043 894,29 894,29 7201,71737 7192,77447 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-25 8,078 8,068 894,39 894,39 7224,88242 7215,93852 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-28 8,118 8,108 896,79 896,79 7280,14122 7271,17332 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-29 8,015 8,005 898,02 898,02 7197,6303 7188,6501 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-11-30 8,088 8,078 894,11 894,11 7231,56168 7222,62058 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-01 8,083 8,073 893,68 893,68 7223,61544 7214,67864 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-02 8,103 8,093 892,42 892,42 7231,27926 7222,35506 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-05 8,045 8,035 892,89 892,89 7183,30005 7174,37115 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-06 7,993 7,983 890,65 890,65 7118,96545 7110,05895 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-07 8,015 8,005 895,08 895,08 7174,0662 7165,1154 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-08 7,988 7,978 893,53 893,53 7137,51764 7128,58234 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-12 7,953 7,943 893,48 893,48 7105,84644 7096,91164 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-13 7,905 7,895 892,44 892,44 7054,7382 7045,8138 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-14 7,848 7,838 893,91 893,91 7015,40568 7006,46658 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-15 7,858 7,848 897,27 897,27 7050,74766 7041,77496 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-16 7,903 7,893 896,95 896,95 7088,59585 7079,62635 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-19 7,865 7,855 898,62 898,62 7067,6463 7058,6601 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-20 7,848 7,838 898,71 898,71 7053,07608 7044,08898 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-21 7,948 7,938 897,54 897,54 7133,64792 7124,67252 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-22 7,98 7,97 896,25 896,25 7152,075 7143,1125 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-23 7,955 7,945 899,79 899,79 7157,82945 7148,83155 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-27 8,01 8 903,14 903,14 7234,1514 7225,12 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-28 7,915 7,905 905,08 905,08 7163,7082 7154,6574 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-29 7,938 7,928 903,63 903,63 7173,01494 7163,97864 551804 Banque de Luxembourg S.A. BL - Bond Dollar USD 2005-12-30 7,958 7,948 904,31 904,31 7196,49898 7187,45588 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-03 9,0065 9,0015 834,79 834,79 7518,536135 7514,362185 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-04 9,0345 9,0295 836,38 836,38 7556,27511 7552,09321 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-05 9,0615 9,0565 835,98 835,98 7575,23277 7571,05287 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-07 9,0615 9,0565 837,27 837,27 7586,922105 7582,735755 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-10 9,08619 9,08119 838,62 838,62 7619,8606578 7615,6675578 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-11 9,08619 9,08119 839,14 839,14 7624,5854766 7620,3897766 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-12 9,0455 9,0405 838,97 838,97 7588,903135 7584,708285 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-13 9,0505 9,0455 838,65 838,65 7590,201825 7586,008575 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-14 9,0455 9,0405 840,1 840,1 7599,12455 7594,92405 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-17 9,0685 9,0635 841,16 841,16 7628,05946 7623,85366 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-18 9,0585 9,0535 841,71 841,71 7624,630035 7620,421485 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-19 9,0225 9,0175 841,79 841,79 7595,050275 7590,841325 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-20 9,0315 9,0265 843,05 843,05 7614,006075 7609,790825 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-21 9,0505 9,0455 840,85 840,85 7610,112925 7605,908675 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-24 9,0655 9,0605 841,22 841,22 7626,07991 7621,87381 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-25 9,0715 9,0665 842,44 842,44 7642,19446 7637,98226 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-26 9,0885 9,0835 842,58 842,58 7657,78833 7653,57543 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-27 9,0675 9,0625 841,81 841,81 7633,112175 7628,903125 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-28 9,0955 9,0905 840,53 840,53 7645,040615 7640,837965 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-01-31 9,1075 9,1025 842,33 842,33 7671,520475 7667,308825 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-01 9,1035 9,0985 842,84 842,84 7672,79394 7668,57974 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-02 9,0905 9,0855 843,27 843,27 7665,745935 7661,529585 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-03 9,0695 9,0645 843,1 843,1 7646,49545 7642,27995 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-04 9,0895 9,0845 842,31 842,31 7656,176745 7651,965195 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-07 9,0755 9,0705 844,62 844,62 7665,34881 7661,12571 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-08 9,0895 9,0845 845,71 845,71 7687,081045 7682,852495 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-09 9,0695 9,0645 845,98 845,98 7672,61561 7668,38571 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-10 9,0805 9,0755 847,32 847,32 7694,08926 7689,85266 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-11 9,0935 9,0885 847,51 847,51 7706,832185 7702,594635 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-14 9,1105 9,1055 846,89 846,89 7715,591345 7711,356895 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-15 9,0765 9,0715 845,7 845,7 7675,99605 7671,76755 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-16 9,0705 9,0655 844,77 844,77 7662,486285 7658,262435 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-17 9,0925 9,0875 843,76 843,76 7671,8878 7667,669 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-18 9,0945 9,0895 842,43 842,43 7661,479635 7657,267485 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-21 9,1185 9,1135 839,42 839,42 7654,25127 7650,05417 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-22 9,0975 9,0925 837,94 837,94 7623,15915 7618,96945 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-23 9,1045 9,0995 838,06 838,06 7630,11727 7625,92697 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-24 9,0715 9,0665 837,87 837,87 7600,737705 7596,548355 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-25 9,0845 9,0795 836,92 836,92 7602,99974 7598,81514 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-02-28 9,0505 9,0455 837,44 837,44 7579,25072 7575,06352 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-01 9,0565 9,0515 837,89 837,89 7588,350785 7584,161335 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-02 9,0645 9,0595 836,98 836,98 7586,80521 7582,62031 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-03 9,0675 9,0625 835,75 835,75 7578,163125 7573,984375 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-04 9,0415 9,0365 836,09 836,09 7559,507735 7555,327285 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-07 9,0425 9,0375 838,73 838,73 7584,216025 7580,022375 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-08 9,0345 9,0295 840,48 840,48 7593,31656 7589,11416 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-09 9,0365 9,0315 839,38 839,38 7585,05737 7580,86047 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-10 9,0655 9,0605 837,47 837,47 7592,084285 7587,896935 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-11 9,0795 9,0745 836,49 836,49 7594,910955 7590,728505 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-14 9,0695 9,0645 837 837 7591,1715 7586,9865 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-15 9,1035 9,0985 836,56 836,56 7615,62396 7611,44116 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-16 9,0975 9,0925 838,73 838,73 7630,346175 7626,152525 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-17 9,1045 9,0995 839,7 839,7 7645,04865 7640,85015 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-18 9,1035 9,0985 839,57 839,57 7643,025495 7638,827645 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-21 9,1265 9,1215 838,77 838,77 7655,034405 7650,840555 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-22 9,1265 9,1215 837,59 837,59 7644,265135 7640,077185 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-23 9,1165 9,1115 839,01 839,01 7648,834665 7644,639615 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-24 9,1135 9,1085 837,4 837,4 7631,6449 7627,4579 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-29 9,1315 9,1265 838,5 838,5 7656,76275 7652,57025 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-30 9,1425 9,1375 838,66 838,66 7667,44905 7663,25575 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-03-31 9,1405 9,1355 839,94 839,94 7677,47157 7673,27187 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-01 9,1645 9,1595 842,12 842,12 7717,60874 7713,39814 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-04 9,1695 9,1645 842,9 842,9 7728,97155 7724,75705 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-05 9,1745 9,1695 844,02 844,02 7743,46149 7739,24139 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-06 9,1705 9,1655 843,54 843,54 7735,68357 7731,46587 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-07 9,1505 9,1455 843,72 843,72 7720,45986 7716,24126 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-08 9,1625 9,1575 845,23 845,23 7744,419875 7740,193725 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-11 9,1705 9,1655 844,29 844,29 7742,561445 7738,339995 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-12 9,1525 9,1475 845,34 845,34 7736,97435 7732,74765 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-13 9,1495 9,1445 845,78 845,78 7738,46411 7734,23521 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-14 9,1685 9,1635 846,72 846,72 7763,15232 7758,91872 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-15 9,1925 9,1875 846,24 846,24 7779,0612 7774,83 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-18 9,1805 9,1755 847,77 847,77 7782,952485 7778,713635 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-19 9,2035 9,1985 849,09 849,09 7814,599815 7810,354365 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-20 9,1915 9,1865 849,88 849,88 7811,67202 7807,42262 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-21 9,1855 9,1805 849,53 849,53 7803,357815 7799,110165 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-22 9,1625 9,1575 849,11 849,11 7779,970375 7775,724825 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-25 9,1685 9,1635 849,56 849,56 7789,19086 7784,94306 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-26 9,1375 9,1325 850,4 850,4 7770,53 7766,278 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-27 9,1465 9,1415 850,58 850,58 7779,82997 7775,57707 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-28 9,1505 9,1455 851,96 851,96 7795,85998 7791,60018 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-04-29 9,1705 9,1655 852,56 852,56 7818,40148 7814,13868 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-02 9,1935 9,1885 853,03 853,03 7842,331305 7838,066155 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-03 9,2245 9,2195 852,98 852,98 7868,31401 7864,04911 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-04 9,1915 9,1865 854,07 854,07 7850,184405 7845,914055 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-06 9,1715 9,1665 853,1 853,1 7824,20665 7819,94115 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-09 9,1815 9,1765 851,65 851,65 7819,424475 7815,166225 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-10 9,1985 9,1935 852,72 852,72 7843,74492 7839,48132 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-11 9,2105 9,2055 855,23 855,23 7877,095915 7872,819765 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-12 9,2315 9,2265 856,63 856,63 7907,979845 7903,696695 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-13 9,2045 9,1995 856,22 856,22 7881,07699 7876,79589 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-17 9,2325 9,2275 857,04 857,04 7912,6218 7908,3366 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-18 9,2095 9,2045 857,23 857,23 7894,659685 7890,373535 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-19 9,1905 9,1855 858,11 858,11 7886,459955 7882,169405 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-20 9,1955 9,1905 857,37 857,37 7883,945835 7879,658985 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-23 9,1805 9,1755 856,37 856,37 7861,904785 7857,622935 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-24 9,1815 9,1765 857,78 857,78 7875,70707 7871,41817 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-25 9,1785 9,1735 859,23 859,23 7886,442555 7882,146405 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-26 9,1945 9,1895 859,69 859,69 7904,419705 7900,121255 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-27 9,1955 9,1905 858,7 858,7 7896,17585 7891,88235 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-30 9,1905 9,1855 858,05 858,05 7885,908525 7881,618275 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-05-31 9,1665 9,1615 857,97 857,97 7864,582005 7860,292155 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-01 9,1455 9,1405 860,62 860,62 7870,80021 7866,49711 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-02 9,1565 9,1515 862,06 862,06 7893,45239 7889,14209 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-03 9,1315 9,1265 862,83 862,83 7878,932145 7874,617995 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-07 9,1455 9,1405 863,55 863,55 7897,596525 7893,278775 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-08 9,1455 9,1405 866,36 866,36 7923,29538 7918,96358 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-09 9,1965 9,1915 867,86 867,86 7981,27449 7976,93519 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-10 9,1975 9,1925 867,51 867,51 7978,923225 7974,585675 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-13 9,2365 9,2315 867,07 867,07 8008,692055 8004,356705 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-14 9,2985 9,2935 865,28 865,28 8045,80608 8041,47968 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-15 9,2695 9,2645 864,18 864,18 8010,51651 8006,19561 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-16 9,2695 9,2645 859,59 859,59 7967,969505 7963,671555 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-17 9,2695 9,2645 858,27 858,27 7955,733765 7951,442415 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-20 9,2255 9,2205 859,74 859,74 7931,53137 7927,23267 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-21 9,2725 9,2675 859,66 859,66 7971,19735 7966,89905 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-22 9,2615 9,2565 863,64 863,64 7998,60186 7994,28366 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-27 9,3855 9,3805 867,28 867,28 8139,85644 8135,52004 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-28 9,3995 9,3945 868,35 868,35 8162,055825 8157,714075 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-29 9,4215 9,4165 866,08 866,08 8159,77272 8155,44232 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-06-30 9,4415 9,4365 865,38 865,38 8170,48527 8166,15837 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-01 9,4595 9,4545 867,36 867,36 8204,79192 8200,45512 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-04 9,4795 9,4745 866,42 866,42 8213,22839 8208,89629 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-05 9,4575 9,4525 865,3 865,3 8183,57475 8179,24825 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-06 9,4195 9,4145 863,64 863,64 8135,05698 8130,73878 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-07 9,3965 9,3915 863,26 863,26 8111,62259 8107,30629 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-08 9,4175 9,4125 864,91 864,91 8145,289925 8140,965375 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-11 9,4665 9,4615 864,97 864,97 8188,238505 8183,913655 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-12 9,4645 9,4595 862,95 862,95 8167,390275 8163,075525 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-13 9,3915 9,3865 862,96 862,96 8104,48884 8100,17404 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-14 9,3675 9,3625 861,93 861,93 8074,129275 8069,819625 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-15 9,4055 9,4005 860,83 860,83 8096,536565 8092,232415 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-18 9,3895 9,3845 860,87 860,87 8083,138865 8078,834515 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-19 9,4425 9,4375 862,05 862,05 8139,907125 8135,596875 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-20 9,4265 9,4215 861,08 861,08 8116,97062 8112,66522 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-21 9,4625 9,4575 860,57 860,57 8143,143625 8138,840775 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-22 9,4495 9,4445 860,85 860,85 8134,602075 8130,297825 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-25 9,4275 9,4225 863,34 863,34 8139,13785 8134,82115 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-26 9,4155 9,4105 864,06 864,06 8135,55693 8131,23663 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-27 9,4725 9,4675 863,11 863,11 8175,809475 8171,493925 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-28 9,4515 9,4465 863,84 863,84 8164,58376 8160,26456 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-07-29 9,3885 9,3835 863,42 863,42 8106,21867 8101,90157 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-01 9,3985 9,3935 863,32 863,32 8113,91302 8109,59642 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-02 9,3995 9,3945 861,18 861,18 8094,66141 8090,35551 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-03 9,3755 9,3705 860,14 860,14 8064,24257 8059,94187 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-04 9,3735 9,3685 860,55 860,55 8066,365425 8062,062675 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-05 9,3355 9,3305 860,48 860,48 8033,01104 8028,70864 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-08 9,3335 9,3285 858,79 858,79 8015,516465 8011,222515 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-09 9,3455 9,3405 858,99 858,99 8027,691045 8023,396095 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-10 9,3535 9,3485 858,82 858,82 8032,97287 8028,67877 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-11 9,3365 9,3315 859,77 859,77 8027,242605 8022,943755 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-12 9,3025 9,2975 860,16 860,16 8001,6384 7997,3376 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-16 9,2995 9,2945 863,27 863,27 8027,979365 8023,663015 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-17 9,3405 9,3355 864,9 864,9 8078,59845 8074,27395 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-18 9,3365 9,3315 865,15 865,15 8077,472975 8073,147225 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-19 9,3395 9,3345 866,53 866,53 8092,956935 8088,624285 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-22 9,3655 9,3605 866,7 866,7 8117,07885 8112,74535 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-23 9,3715 9,3665 867,15 867,15 8126,496225 8122,160475 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-24 9,3365 9,3315 867,67 867,67 8101,000955 8096,662605 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-25 9,3335 9,3285 867,98 867,98 8101,29133 8096,95143 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-26 9,3415 9,3365 869,04 869,04 8118,13716 8113,79196 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-29 9,3295 9,3245 868,8 868,8 8105,4696 8101,1256 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-30 9,3285 9,3235 868,87 868,87 8105,253795 8100,909445 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-08-31 9,3585 9,3535 868,82 868,82 8130,85197 8126,50787 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-01 9,3365 9,3315 870,93 870,93 8131,437945 8127,083295 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-02 9,3025 9,2975 873,12 873,12 8122,1988 8117,8332 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-05 9,2845 9,2795 873,6 873,6 8110,9392 8106,5712 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-06 9,3225 9,3175 874,14 874,14 8149,17015 8144,79945 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-07 9,3075 9,3025 872,96 872,96 8125,0752 8120,7104 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-08 9,3255 9,3205 872,26 872,26 8134,26063 8129,89933 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-09 9,3445 9,3395 873,42 873,42 8161,67319 8157,30609 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-12 9,3015 9,2965 874,37 874,37 8132,952555 8128,580705 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-13 9,3015 9,2965 871,11 871,11 8102,629665 8098,274115 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-14 9,3365 9,3315 871,91 871,91 8140,587715 8136,228165 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-15 9,3425 9,3375 872,31 872,31 8149,556175 8145,194625 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-16 9,3465 9,3415 871,47 871,47 8145,194355 8140,837005 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-19 9,3355 9,3305 870,84 870,84 8129,72682 8125,37262 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-20 9,3395 9,3345 872,11 872,11 8145,071345 8140,710795 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-21 9,3405 9,3355 872,66 872,66 8151,08073 8146,71743 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-22 9,3405 9,3355 875,29 875,29 8175,646245 8171,269795 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-23 9,3695 9,3645 875,35 875,35 8201,591825 8197,215075 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-26 9,3815 9,3765 873,87 873,87 8198,211405 8193,842055 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-27 9,3885 9,3835 871,01 871,01 8177,477385 8173,122335 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-28 9,3935 9,3885 870,84 870,84 8180,23554 8175,88134 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-29 9,3845 9,3795 870,71 870,71 8171,177995 8166,824445 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-09-30 9,3435 9,3385 869,84 869,84 8127,35004 8123,00084 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-03 9,3025 9,2975 870,21 870,21 8095,128525 8090,777475 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-04 9,3185 9,3135 868,53 868,53 8093,396805 8089,054155 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-05 9,3105 9,3055 869,08 869,08 8091,56934 8087,22394 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-06 9,3015 9,2965 869,53 869,53 8087,933295 8083,585645 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-07 9,3385 9,3335 868,84 868,84 8113,66234 8109,31814 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-10 9,3465 9,3415 868,95 868,95 8121,641175 8117,296425 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-11 9,3395 9,3345 869,75 869,75 8123,030125 8118,681375 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-12 9,3375 9,3325 868,63 868,63 8110,832625 8106,489475 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-13 9,3815 9,3765 867,44 867,44 8137,88836 8133,55116 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-14 9,4135 9,4085 865,27 865,27 8145,219145 8140,892795 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-17 9,4575 9,4525 865,32 865,32 8183,7639 8179,4373 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-18 9,4625 9,4575 864,89 864,89 8184,021625 8179,697175 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-19 9,4605 9,4555 865,09 865,09 8184,183945 8179,858495 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-20 9,4935 9,4885 866,37 866,37 8224,883595 8220,551745 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-21 9,4915 9,4865 865 865 8210,1475 8205,8225 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-24 9,5455 9,5405 867,68 867,68 8282,43944 8278,10104 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-25 9,5465 9,5415 867,93 867,93 8285,693745 8281,354095 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-26 9,4975 9,4925 864,56 864,56 8211,1586 8206,8358 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-27 9,5355 9,5305 861,71 861,71 8216,835705 8212,527155 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-28 9,5135 9,5085 860,41 860,41 8185,510535 8181,208485 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-10-31 9,5495 9,5445 860,52 860,52 8217,53574 8213,23314 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-02 9,5855 9,5805 859,95 859,95 8243,050725 8238,750975 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-03 9,6515 9,6465 858,42 858,42 8285,04063 8280,74853 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-04 9,5875 9,5825 858,14 858,14 8227,41725 8223,12655 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-07 9,6075 9,6025 857,28 857,28 8236,3176 8232,0312 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-08 9,5685 9,5635 856,86 856,86 8198,86491 8194,58061 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-09 9,5575 9,5525 858,51 858,51 8205,209325 8200,916775 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-10 9,6105 9,6055 855,9 855,9 8225,62695 8221,34745 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-11 9,6365 9,6315 856,16 856,16 8250,38584 8246,10504 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-14 9,5505 9,5455 856,84 856,84 8183,25042 8178,96622 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-15 9,5805 9,5755 856,25 856,25 8203,303125 8199,021875 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-16 9,6235 9,6185 857,02 857,02 8247,53197 8243,24687 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-17 9,6355 9,6305 860,51 860,51 8291,444105 8287,141555 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-18 9,6085 9,6035 859,57 859,57 8259,178345 8254,880495 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-21 9,5915 9,5865 855,6 855,6 8206,4874 8202,2094 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-22 9,5585 9,5535 858,02 858,02 8201,38417 8197,09407 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-23 9,5155 9,5105 858,06 858,06 8164,86993 8160,57963 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-24 9,5125 9,5075 858,72 858,72 8168,574 8164,2804 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-25 9,4965 9,4915 862,09 862,09 8186,837685 8182,527235 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-28 9,4835 9,4785 861,77 861,77 8172,595795 8168,286945 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-29 9,4785 9,4735 861,69 861,69 8167,528665 8163,220215 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-11-30 9,5295 9,5245 859,87 859,87 8194,131165 8189,831815 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-01 9,5165 9,5115 860,26 860,26 8186,66429 8182,36299 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-02 9,4905 9,4855 862,08 862,08 8181,57024 8177,25984 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-05 9,4065 9,4015 863,01 863,01 8117,903565 8113,588515 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-06 9,4185 9,4135 862 862 8118,747 8114,437 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-07 9,4255 9,4205 864,13 864,13 8144,857315 8140,536665 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-08 9,3965 9,3915 862,52 862,52 8104,66918 8100,35658 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-12 9,4315 9,4265 860,96 860,96 8120,14424 8115,83944 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-13 9,4295 9,4245 862,13 862,13 8129,454835 8125,144185 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-14 9,4365 9,4315 862,71 862,71 8140,962915 8136,649365 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-15 9,4345 9,4295 864,15 864,15 8152,823175 8148,502425 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-16 9,4765 9,4715 863,8 863,8 8185,8007 8181,4817 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-19 9,4535 9,4485 865,48 865,48 8181,81518 8177,48778 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-20 9,4015 9,3965 866,03 866,03 8141,981045 8137,650895 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-21 9,4485 9,4435 865,54 865,54 8178,05469 8173,72699 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-22 9,4365 9,4315 863,39 863,39 8147,379735 8143,062785 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-23 9,4425 9,4375 864,55 864,55 8163,513375 8159,190625 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-27 9,4915 9,4865 865,65 865,65 8216,316975 8211,988725 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-28 9,4345 9,4295 866,27 866,27 8172,824315 8168,492965 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-29 9,4115 9,4065 868,02 868,02 8169,37023 8165,03013 587634 Banque de Luxembourg S.A. BL - Bond Euro EUR 2005-12-30 9,4325 9,4275 866,95 866,95 8177,505875 8173,171125 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-03 6,668 6,658 3028,81 3028,81 20196,10508 20165,81698 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-04 6,728 6,718 2997,92 2997,92 20170,00576 20140,02656 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-05 6,828 6,818 2962,24 2962,24 20226,17472 20196,55232 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-07 6,87 6,86 2956,09 2956,09 20308,3383 20278,7774 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-10 6,96091 6,95091 2949,93 2949,93 20534,1972363 20504,6979363 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-11 6,96091 6,95091 2977,63 2977,63 20727,0144433 20697,2381433 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-12 6,913 6,903 2970,1 2970,1 20532,3013 20502,6003 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-13 6,843 6,833 2977,06 2977,06 20372,02158 20342,25098 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-14 6,915 6,905 2968,16 2968,16 20524,8264 20495,1448 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-17 6,915 6,905 2992,59 2992,59 20693,75985 20663,83395 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-18 6,968 6,958 2992,51 2992,51 20851,80968 20821,88458 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-19 6,91 6,9 3014,53 3014,53 20830,4023 20800,257 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-20 6,96 6,95 2999,58 2999,58 20877,0768 20847,081 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-21 6,978 6,968 2974,89 2974,89 20758,78242 20729,03352 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-24 6,933 6,923 2959,49 2959,49 20518,14417 20488,54927 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-25 6,95 6,94 2943,65 2943,65 20458,3675 20428,931 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-26 6,995 6,985 2948,07 2948,07 20621,74965 20592,26895 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-27 6,93 6,92 2966,54 2966,54 20558,1222 20528,4568 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-28 6,985 6,975 2967,45 2967,45 20727,63825 20697,96375 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-01-31 6,998 6,988 2962,89 2962,89 20734,30422 20704,67532 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-01 6,993 6,983 2994,41 2994,41 20939,90913 20909,96503 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-02 6,953 6,943 3012,43 3012,43 20945,42579 20915,30149 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-03 6,968 6,958 3016,28 3016,28 21017,43904 20987,27624 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-04 7,01 7 3011,5 3011,5 21110,615 21080,5 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-07 7,065 7,055 3056,15 3056,15 21591,69975 21561,13825 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-08 7,123 7,113 3056,63 3056,63 21772,37549 21741,80919 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-09 7,1 7,09 3062,47 3062,47 21743,537 21712,9123 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-10 7,088 7,078 3028,26 3028,26 21464,30688 21434,02428 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-11 7,068 7,058 3037,87 3037,87 21471,66516 21441,28646 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-14 7,03 7,02 3037,65 3037,65 21354,6795 21324,303 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-15 7,005 6,995 3025,45 3025,45 21193,27725 21163,02275 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-16 6,973 6,963 3025,33 3025,33 21095,62609 21065,37279 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-17 6,97 6,96 3036,43 3036,43 21163,9171 21133,5528 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-18 6,965 6,955 3018,05 3018,05 21020,71825 20990,53775 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-21 6,978 6,968 3012,53 3012,53 21021,43434 20991,30904 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-22 6,905 6,895 3012,45 3012,45 20800,96725 20770,84275 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-23 6,895 6,885 2966,13 2966,13 20451,46635 20421,80505 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-24 6,858 6,848 2981,38 2981,38 20446,30404 20416,49024 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-25 6,885 6,875 3011,64 3011,64 20735,1414 20705,025 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-02-28 6,828 6,818 3042,53 3042,53 20774,39484 20743,96954 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-01 6,87 6,86 3029,96 3029,96 20815,8252 20785,5256 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-02 6,888 6,878 3054,23 3054,23 21037,53624 21006,99394 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-03 6,903 6,893 3040,18 3040,18 20986,36254 20955,96074 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-04 6,9 6,89 3039,52 3039,52 20972,688 20942,2928 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-07 6,84 6,83 3065,35 3065,35 20966,994 20936,3405 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-08 6,825 6,815 3063,83 3063,83 20910,63975 20880,00145 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-09 6,76 6,75 3044,58 3044,58 20581,3608 20550,915 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-10 6,745 6,735 3010,22 3010,22 20303,9339 20273,8317 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-11 6,765 6,755 3010,02 3010,02 20362,7853 20332,6851 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-14 6,76 6,75 3006,83 3006,83 20326,1708 20296,1025 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-15 6,815 6,805 3017,3 3017,3 20562,8995 20532,7265 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-16 6,81 6,8 3002,48 3002,48 20446,8888 20416,864 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-17 6,795 6,785 2981,48 2981,48 20259,1566 20229,3418 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-18 6,828 6,818 2982,56 2982,56 20364,91968 20335,09408 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-21 6,908 6,898 2985,91 2985,91 20626,66628 20596,80718 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-22 6,928 6,918 2978,52 2978,52 20635,18656 20605,40136 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-23 6,973 6,963 2967,96 2967,96 20695,58508 20665,90548 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-24 7,008 6,998 2961,25 2961,25 20752,44 20722,8275 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-29 7,055 7,045 2987,4 2987,4 21076,107 21046,233 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-30 7,053 7,043 2962,77 2962,77 20896,41681 20866,78911 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-03-31 7,065 7,055 2988,93 2988,93 21116,79045 21086,90115 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-01 7,07 7,06 2989,12 2989,12 21133,0784 21103,1872 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-04 7,113 7,103 2972,51 2972,51 21143,46363 21113,73853 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-05 7,163 7,153 2982,61 2982,61 21364,43543 21334,60933 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-06 7,125 7,115 2996,76 2996,76 21351,915 21321,9474 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-07 7,083 7,073 2994,19 2994,19 21207,84777 21177,90587 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-08 7,153 7,143 3014,15 3014,15 21560,21495 21530,07345 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-11 7,098 7,088 2992,59 2992,59 21241,40382 21211,47792 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-12 7,048 7,038 2990,85 2990,85 21079,5108 21049,6023 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-13 7,075 7,065 3015,37 3015,37 21333,74275 21303,58905 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-14 7,12 7,11 2981,55 2981,55 21228,636 21198,8205 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-15 7,17 7,16 2937 2937 21058,29 21028,92 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-18 7,08 7,07 2889,22 2889,22 20455,6776 20426,7854 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-19 7,068 7,058 2896,08 2896,08 20469,49344 20440,53264 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-20 7,043 7,033 2910,68 2910,68 20499,91924 20470,81244 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-21 7,025 7,015 2870,85 2870,85 20167,72125 20139,01275 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-22 7,023 7,013 2920,84 2920,84 20513,05932 20483,85092 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-25 7,04 7,03 2891,31 2891,31 20354,8224 20325,9093 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-26 7,035 7,025 2918,22 2918,22 20529,6777 20500,4955 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-27 7,085 7,075 2902,78 2902,78 20566,1963 20537,1685 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-28 7,085 7,075 2913,17 2913,17 20639,80945 20610,67775 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-04-29 7,08 7,07 2870,71 2870,71 20324,6268 20295,9197 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-02 7,15 7,14 2885,96 2885,96 20634,614 20605,7544 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-03 7,178 7,168 2903,38 2903,38 20840,46164 20811,42784 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-04 7,11 7,1 2901,78 2901,78 20631,6558 20602,638 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-06 7,085 7,075 2932,75 2932,75 20778,53375 20749,20625 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-09 7,168 7,158 2929,75 2929,75 21000,448 20971,1505 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-10 7,178 7,168 2945,76 2945,76 21144,66528 21115,20768 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-11 7,15 7,14 2920,16 2920,16 20879,144 20849,9424 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-12 7,243 7,233 2929,83 2929,83 21220,75869 21191,46039 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-13 7,265 7,255 2901,85 2901,85 21081,94025 21052,92175 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-17 7,313 7,303 2934,21 2934,21 21457,87773 21428,53563 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-18 7,3 7,29 2937,53 2937,53 21443,969 21414,5937 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-19 7,26 7,25 2979,05 2979,05 21627,903 21598,1125 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-20 7,28 7,27 2990,17 2990,17 21768,4376 21738,5359 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-23 7,32 7,31 2982,41 2982,41 21831,2412 21801,4171 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-24 7,295 7,285 2999,34 2999,34 21880,1853 21850,1919 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-25 7,298 7,288 2997 2997 21872,106 21842,136 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-26 7,33 7,32 2974,2 2974,2 21800,886 21771,144 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-27 7,338 7,328 2997,95 2997,95 21998,9571 21968,9776 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-30 7,338 7,328 2998,17 2998,17 22000,57146 21970,58976 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-05-31 7,403 7,393 2998,1 2998,1 22194,9343 22164,9533 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-01 7,428 7,418 2990,11 2990,11 22210,53708 22180,63598 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-02 7,473 7,463 3011,14 3011,14 22502,24922 22472,13782 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-03 7,438 7,428 3020,42 3020,42 22465,88396 22435,67976 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-07 7,448 7,438 3011,62 3011,62 22430,54576 22400,42956 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-08 7,435 7,425 3030,75 3030,75 22533,62625 22503,31875 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-09 7,523 7,513 3026,18 3026,18 22765,95214 22735,69034 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-10 7,525 7,515 3045,54 3045,54 22917,6885 22887,2331 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-13 7,643 7,633 3037,87 3037,87 23218,44041 23188,06171 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-14 7,663 7,653 3045,99 3045,99 23341,42137 23310,96147 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-15 7,693 7,683 3059,17 3059,17 23534,19481 23503,60311 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-16 7,678 7,668 3066,28 3066,28 23542,89784 23512,23504 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-17 7,643 7,633 3081 3081 23548,083 23517,273 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-20 7,543 7,533 3090,15 3090,15 23309,00145 23278,09995 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-21 7,648 7,638 3083,69 3083,69 23584,06112 23553,22422 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-22 7,608 7,598 3080,35 3080,35 23435,3028 23404,4993 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-27 7,73 7,72 3015,28 3015,28 23308,1144 23277,9616 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-28 7,76 7,75 3018,95 3018,95 23427,052 23396,8625 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-29 7,833 7,823 3054,5 3054,5 23925,8985 23895,3535 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-06-30 7,823 7,813 3049,88 3049,88 23859,21124 23828,71244 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-01 7,858 7,848 3038,39 3038,39 23875,66862 23845,28472 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-04 7,945 7,935 3043,4 3043,4 24179,813 24149,379 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-05 7,963 7,953 3043,33 3043,33 24234,03679 24203,60349 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-06 7,895 7,885 3065,16 3065,16 24199,4382 24168,7866 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-07 7,878 7,868 3041,54 3041,54 23961,25212 23930,83672 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-08 7,913 7,903 3047,35 3047,35 24113,68055 24083,20705 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-11 7,89 7,88 3074,4 3074,4 24257,016 24226,272 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-12 7,77 7,76 3100,13 3100,13 24088,0101 24057,0088 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-13 7,703 7,693 3098,32 3098,32 23866,35896 23835,37576 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-14 7,76 7,75 3098,42 3098,42 24043,7392 24012,755 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-15 7,76 7,75 3098,98 3098,98 24048,0848 24017,095 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-18 7,78 7,77 3112,47 3112,47 24215,0166 24183,8919 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-19 7,878 7,868 3100,47 3100,47 24425,50266 24394,49796 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-20 7,818 7,808 3125,37 3125,37 24434,14266 24402,88896 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-21 7,775 7,765 3145,31 3145,31 24454,78525 24423,33215 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-22 7,758 7,748 3118,91 3118,91 24196,50378 24165,31468 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-25 7,838 7,828 3130,58 3130,58 24537,48604 24506,18024 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-26 7,818 7,808 3113,96 3113,96 24344,93928 24313,79968 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-27 7,905 7,895 3115,4 3115,4 24627,237 24596,083 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-28 7,848 7,838 3126,82 3126,82 24539,28336 24508,01516 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-07-29 7,748 7,738 3146,18 3146,18 24376,60264 24345,14084 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-01 7,72 7,71 3118,05 3118,05 24071,346 24040,1655 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-02 7,7 7,69 3121,79 3121,79 24037,783 24006,5651 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-03 7,685 7,675 3128,86 3128,86 24045,2891 24014,0005 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-04 7,618 7,608 3139,42 3139,42 23916,10156 23884,70736 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-05 7,548 7,538 3118,37 3118,37 23537,45676 23506,27306 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-08 7,558 7,548 3087,25 3087,25 23333,4355 23302,563 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-09 7,548 7,538 3069,87 3069,87 23171,37876 23140,68006 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-10 7,558 7,548 3082,51 3082,51 23297,61058 23266,78548 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-11 7,523 7,513 3077,21 3077,21 23149,85083 23119,07873 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-12 7,46 7,45 3101,57 3101,57 23137,7122 23106,6965 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-16 7,523 7,513 3097,31 3097,31 23301,06313 23270,09003 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-17 7,605 7,595 3066,1 3066,1 23317,6905 23287,0295 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-18 7,61 7,6 3062,29 3062,29 23304,0269 23273,404 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-19 7,698 7,688 3065,77 3065,77 23600,29746 23569,63976 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-22 7,69 7,68 3065,03 3065,03 23570,0807 23539,4304 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-23 7,663 7,653 3067,02 3067,02 23502,57426 23471,90406 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-24 7,673 7,663 3055,33 3055,33 23443,54709 23412,99379 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-25 7,588 7,578 3049,1 3049,1 23136,5708 23106,0798 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-26 7,578 7,568 3042,7 3042,7 23057,5806 23027,1536 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-29 7,573 7,563 3021,8 3021,8 22884,0914 22853,8734 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-30 7,633 7,623 3035,51 3035,51 23170,04783 23139,69273 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-08-31 7,668 7,658 3028,4 3028,4 23221,7712 23191,4872 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-01 7,568 7,558 3064,61 3064,61 23192,96848 23162,32238 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-02 7,435 7,425 3059,82 3059,82 22749,7617 22719,1635 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-05 7,41 7,4 3047,78 3047,78 22584,0498 22553,572 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-06 7,485 7,475 3047,72 3047,72 22812,1842 22781,707 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-07 7,43 7,42 3076,26 3076,26 22856,6118 22825,8492 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-08 7,498 7,488 3083,82 3083,82 23122,48236 23091,64416 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-09 7,523 7,513 3063,2 3063,2 23044,4536 23013,8216 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-12 7,555 7,545 3083,08 3083,08 23292,6694 23261,8386 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-13 7,57 7,56 3080,54 3080,54 23319,6878 23288,8824 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-14 7,61 7,6 3057,18 3057,18 23265,1398 23234,568 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-15 7,658 7,648 3046,19 3046,19 23327,72302 23297,26112 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-16 7,613 7,603 3046,2 3046,2 23190,7206 23160,2586 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-19 7,698 7,688 3038,86 3038,86 23393,14428 23362,75568 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-20 7,688 7,678 3023,81 3023,81 23247,05128 23216,81318 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-21 7,663 7,653 2983,58 2983,58 22863,17354 22833,33774 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-22 7,648 7,638 2952,3 2952,3 22579,1904 22549,6674 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-23 7,733 7,723 2972,89 2972,89 22989,35837 22959,62947 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-26 7,798 7,788 2977,87 2977,87 23221,43026 23191,65156 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-27 7,825 7,815 2981,23 2981,23 23328,12475 23298,31245 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-28 7,81 7,8 2983,69 2983,69 23302,6189 23272,782 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-29 7,785 7,775 2979,79 2979,79 23197,66515 23167,86725 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-09-30 7,785 7,775 2992,47 2992,47 23296,37895 23266,45425 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-03 7,783 7,773 2999,94 2999,94 23348,53302 23318,53362 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-04 7,82 7,81 3000,43 3000,43 23463,3626 23433,3583 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-05 7,795 7,785 2971,45 2971,45 23162,45275 23132,73825 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-06 7,713 7,703 2918,04 2918,04 22506,84252 22477,66212 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-07 7,683 7,673 2913,19 2913,19 22382,03877 22352,90687 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-10 7,698 7,688 2916,6 2916,6 22451,9868 22422,8208 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-11 7,77 7,76 2893,13 2893,13 22479,6201 22450,6888 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-12 7,805 7,795 2884,84 2884,84 22516,1762 22487,3278 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-13 7,83 7,82 2871,42 2871,42 22483,2186 22454,5044 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-14 7,833 7,823 2870,75 2870,75 22486,58475 22457,87725 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-17 7,835 7,825 2893,09 2893,09 22667,36015 22638,42925 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-18 7,893 7,883 2897,62 2897,62 22870,91466 22841,93846 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-19 7,96 7,95 2868,88 2868,88 22836,2848 22807,596 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-20 7,93 7,92 2904,35 2904,35 23031,4955 23002,452 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-21 7,883 7,873 2873,36 2873,36 22650,69688 22621,96328 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-24 7,995 7,985 2876,13 2876,13 22994,65935 22965,89805 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-25 7,99 7,98 2913,92 2913,92 23282,2208 23253,0816 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-26 7,868 7,858 2904,6 2904,6 22853,3928 22824,3468 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-27 7,868 7,858 2904,72 2904,72 22854,33696 22825,28976 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-28 7,825 7,815 2857,93 2857,93 22363,30225 22334,72295 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-10-31 7,905 7,895 2887,07 2887,07 22822,28835 22793,41765 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-02 7,98 7,97 2906,59 2906,59 23194,5882 23165,5223 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-03 8,01 8 2945,14 2945,14 23590,5714 23561,12 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-04 8,028 8,018 2958,93 2958,93 23754,29004 23724,70074 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-07 8,135 8,125 2962,27 2962,27 24098,06645 24068,44375 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-08 8,17 8,16 2971,71 2971,71 24278,8707 24249,1536 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-09 8,12 8,11 2947,4 2947,4 23932,888 23903,414 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-10 8,173 8,163 2961,83 2961,83 24207,03659 24177,41829 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-11 8,235 8,225 2987,13 2987,13 24599,01555 24569,14425 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-14 8,133 8,123 2990,79 2990,79 24324,09507 24294,18717 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-15 8,185 8,175 2987,13 2987,13 24449,65905 24419,78775 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-16 8,21 8,2 2980,02 2980,02 24465,9642 24436,164 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-17 8,258 8,248 2980,45 2980,45 24612,5561 24582,7516 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-18 8,223 8,213 3006,44 3006,44 24721,95612 24691,89172 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-21 8,123 8,113 3015,05 3015,05 24491,25115 24461,10065 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-22 8,15 8,14 3020,38 3020,38 24616,097 24585,8932 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-23 8,048 8,038 3035,09 3035,09 24426,40432 24396,05342 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-24 8,053 8,043 3042,77 3042,77 24503,42681 24472,99911 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-25 8,078 8,068 3042,71 3042,71 24579,01138 24548,58428 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-28 8,118 8,108 3041,16 3041,16 24688,13688 24657,72528 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-29 8,015 8,005 3010,03 3010,03 24125,39045 24095,29015 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-11-30 8,088 8,078 3011,25 3011,25 24354,99 24324,8775 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-01 8,083 8,073 2998,94 2998,94 24240,43202 24210,44262 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-02 8,103 8,093 3028,4 3028,4 24539,1252 24508,8412 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-05 8,045 8,035 3034,99 3034,99 24416,49455 24386,14465 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-06 7,993 7,983 3018,42 3018,42 24126,23106 24096,04686 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-07 8,015 8,005 3015 3015 24165,225 24135,075 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-08 7,988 7,978 3004,09 3004,09 23996,67092 23966,63002 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-12 7,953 7,943 3004,66 3004,66 23896,06098 23866,01438 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-13 7,905 7,895 3008,57 3008,57 23782,74585 23752,66015 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-14 7,848 7,838 3033,36 3033,36 23805,80928 23775,47568 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-15 7,858 7,848 3056,56 3056,56 24018,44848 23987,88288 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-16 7,903 7,893 3056,42 3056,42 24154,88726 24124,32306 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-19 7,865 7,855 3059,56 3059,56 24063,4394 24032,8438 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-20 7,848 7,838 3044,62 3044,62 23894,17776 23863,73156 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-21 7,948 7,938 3042,43 3042,43 24181,23364 24150,80934 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-22 7,98 7,97 3043,39 3043,39 24286,2522 24255,8183 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-23 7,955 7,945 3054,7 3054,7 24300,1385 24269,5915 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-27 8,01 8 3055,4 3055,4 24473,754 24443,2 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-28 7,915 7,905 3043,84 3043,84 24091,9936 24061,5552 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-29 7,938 7,928 3045,78 3045,78 24177,40164 24146,94384 300996 Banque de Luxembourg S.A. BL - Equities America USD 2005-12-30 7,958 7,948 3038,86 3038,86 24183,24788 24152,85928 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-03 9,0065 9,0015 2404,6 2404,6 21657,0299 21645,0069 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-04 9,0345 9,0295 2417,28 2417,28 21838,91616 21826,82976 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-05 9,0615 9,0565 2426,15 2426,15 21984,558225 21972,427475 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-07 9,0615 9,0565 2411,77 2411,77 21854,253855 21842,195005 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-10 9,08619 9,08119 2422,77 2422,77 22013,7485463 22001,6346963 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-11 9,08619 9,08119 2423,29 2423,29 22018,4733651 22006,3569151 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-12 9,0455 9,0405 2418,19 2418,19 21873,737645 21861,646695 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-13 9,0505 9,0455 2417,45 2417,45 21879,131225 21867,043975 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-14 9,0455 9,0405 2427,43 2427,43 21957,318065 21945,180915 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-17 9,0685 9,0635 2437,32 2437,32 22102,83642 22090,64982 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-18 9,0585 9,0535 2451,71 2451,71 22208,815035 22196,556485 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-19 9,0225 9,0175 2450,84 2450,84 22112,7039 22100,4497 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-20 9,0315 9,0265 2461,75 2461,75 22233,295125 22220,986375 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-21 9,0505 9,0455 2453,35 2453,35 22204,044175 22191,777425 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-24 9,0655 9,0605 2452,75 2452,75 22235,405125 22223,141375 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-25 9,0715 9,0665 2451,41 2451,41 22237,965815 22225,708765 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-26 9,0885 9,0835 2461,88 2461,88 22374,79638 22362,48698 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-27 9,0675 9,0625 2466,15 2466,15 22361,815125 22349,484375 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-28 9,0955 9,0905 2473,93 2473,93 22501,630315 22489,260665 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-01-31 9,1075 9,1025 2463,68 2463,68 22437,9656 22425,6472 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-01 9,1035 9,0985 2479,89 2479,89 22575,678615 22563,279165 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-02 9,0905 9,0855 2487,94 2487,94 22616,61857 22604,17887 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-03 9,0695 9,0645 2494,11 2494,11 22620,330645 22607,860095 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-04 9,0895 9,0845 2498,14 2498,14 22706,84353 22694,35283 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-07 9,0755 9,0705 2519,18 2519,18 22862,81809 22850,22219 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-08 9,0895 9,0845 2531,03 2531,03 23005,797185 22993,142035 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-09 9,0695 9,0645 2539,77 2539,77 23034,444015 23021,745165 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-10 9,0805 9,0755 2538,75 2538,75 23053,119375 23040,425625 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-11 9,0935 9,0885 2536,81 2536,81 23068,481735 23055,797685 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-14 9,1105 9,1055 2557,47 2557,47 23299,830435 23287,043085 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-15 9,0765 9,0715 2559,92 2559,92 23235,11388 23222,31428 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-16 9,0705 9,0655 2563,19 2563,19 23249,414895 23236,598945 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-17 9,0925 9,0875 2555,6 2555,6 23236,793 23224,015 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-18 9,0945 9,0895 2565,97 2565,97 23336,214165 23323,384315 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-21 9,1185 9,1135 2573,62 2573,62 23467,55397 23454,68587 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-22 9,0975 9,0925 2572,83 2572,83 23406,320925 23393,456775 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-23 9,1045 9,0995 2561,97 2561,97 23325,455865 23312,646015 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-24 9,0715 9,0665 2548,5 2548,5 23118,71775 23105,97525 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-25 9,0845 9,0795 2551,63 2551,63 23180,282735 23167,524585 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-02-28 9,0505 9,0455 2582,27 2582,27 23370,834635 23357,923285 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-01 9,0565 9,0515 2580,94 2580,94 23374,28311 23361,37841 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-02 9,0645 9,0595 2599,96 2599,96 23567,33742 23554,33762 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-03 9,0675 9,0625 2598,64 2598,64 23563,1682 23550,175 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-04 9,0415 9,0365 2601,67 2601,67 23522,999305 23509,990955 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-07 9,0425 9,0375 2616,12 2616,12 23656,2651 23643,1845 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-08 9,0345 9,0295 2619,59 2619,59 23666,685855 23653,587905 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-09 9,0365 9,0315 2604,18 2604,18 23532,67257 23519,65167 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-10 9,0655 9,0605 2593,57 2593,57 23512,008835 23499,040985 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-11 9,0795 9,0745 2570,65 2570,65 23340,216675 23327,363425 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-14 9,0695 9,0645 2572,54 2572,54 23331,65153 23318,78883 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-15 9,1035 9,0985 2570,32 2570,32 23398,90812 23386,05652 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-16 9,0975 9,0925 2586,58 2586,58 23531,41155 23518,47865 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-17 9,1045 9,0995 2566,63 2566,63 23367,882835 23355,049685 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-18 9,1035 9,0985 2563,23 2563,23 23334,364305 23321,548155 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-21 9,1265 9,1215 2567,58 2567,58 23433,01887 23420,18097 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-22 9,1265 9,1215 2568,02 2568,02 23437,03453 23424,19443 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-23 9,1165 9,1115 2570,48 2570,48 23433,78092 23420,92852 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-24 9,1135 9,1085 2562,45 2562,45 23352,888075 23340,075825 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-29 9,1315 9,1265 2576,45 2576,45 23526,853175 23513,970925 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-30 9,1425 9,1375 2572,38 2572,38 23517,98415 23505,12225 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-03-31 9,1405 9,1355 2560,81 2560,81 23407,083805 23394,279755 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-01 9,1645 9,1595 2566,42 2566,42 23519,95609 23507,12399 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-04 9,1695 9,1645 2583,43 2583,43 23688,761385 23675,844235 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-05 9,1745 9,1695 2577,93 2577,93 23651,218785 23638,329135 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-06 9,1705 9,1655 2594,95 2594,95 23796,988975 23784,014225 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-07 9,1505 9,1455 2606,5 2606,5 23850,77825 23837,74575 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-08 9,1625 9,1575 2610,54 2610,54 23919,07275 23906,02005 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-11 9,1705 9,1655 2611,29 2611,29 23946,834945 23933,778495 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-12 9,1525 9,1475 2604,08 2604,08 23833,8422 23820,8218 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-13 9,1495 9,1445 2600,87 2600,87 23796,660065 23783,655715 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-14 9,1685 9,1635 2607,07 2607,07 23902,921295 23889,885945 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-15 9,1925 9,1875 2595,38 2595,38 23858,03065 23845,05375 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-18 9,1805 9,1755 2564,71 2564,71 23545,320155 23532,496605 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-19 9,2035 9,1985 2528,62 2528,62 23272,15417 23259,51107 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-20 9,1915 9,1865 2547,47 2547,47 23415,070505 23402,333155 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-21 9,1855 9,1805 2540,38 2540,38 23334,66049 23321,95859 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-22 9,1625 9,1575 2538,75 2538,75 23261,296875 23248,603125 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-25 9,1685 9,1635 2552,51 2552,51 23402,687935 23389,925385 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-26 9,1375 9,1325 2560,98 2560,98 23400,95475 23388,14985 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-27 9,1465 9,1415 2554,49 2554,49 23364,642785 23351,870335 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-28 9,1505 9,1455 2524,25 2524,25 23098,149625 23085,528375 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-04-29 9,1705 9,1655 2510,95 2510,95 23026,666975 23014,112225 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-02 9,1935 9,1885 2515,53 2515,53 23126,525055 23113,947405 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-03 9,2245 9,2195 2521,86 2521,86 23262,89757 23250,28827 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-04 9,1915 9,1865 2537,94 2537,94 23327,47551 23314,78581 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-06 9,1715 9,1665 2557,65 2557,65 23457,486975 23444,698725 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-09 9,1815 9,1765 2562,18 2562,18 23524,65567 23511,84477 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-10 9,1985 9,1935 2559,69 2559,69 23545,308465 23532,510015 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-11 9,2105 9,2055 2555,38 2555,38 23536,32749 23523,55059 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-12 9,2315 9,2265 2553,52 2553,52 23572,81988 23560,05228 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-13 9,2045 9,1995 2561,09 2561,09 23573,552905 23560,747455 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-17 9,2325 9,2275 2552,3 2552,3 23564,10975 23551,34825 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-18 9,2095 9,2045 2555,77 2555,77 23537,363815 23524,584965 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-19 9,1905 9,1855 2579,76 2579,76 23709,28428 23696,38548 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-20 9,1955 9,1905 2590,08 2590,08 23817,08064 23804,13024 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-23 9,1805 9,1755 2593,05 2593,05 23805,495525 23792,530275 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-24 9,1815 9,1765 2603,49 2603,49 23903,943435 23890,925985 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-25 9,1785 9,1735 2604,49 2604,49 23905,311465 23892,289015 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-26 9,1945 9,1895 2606,63 2606,63 23966,659535 23953,626385 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-27 9,1955 9,1905 2620,18 2620,18 24093,86519 24080,76429 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-30 9,1905 9,1855 2617,3 2617,3 24054,29565 24041,20915 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-05-31 9,1665 9,1615 2624,77 2624,77 24059,954205 24046,830355 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-01 9,1455 9,1405 2618,47 2618,47 23947,217385 23934,125035 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-02 9,1565 9,1515 2646,8 2646,8 24235,4242 24222,1902 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-03 9,1315 9,1265 2655,04 2655,04 24244,49776 24231,22256 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-07 9,1455 9,1405 2651,85 2651,85 24252,494175 24239,234925 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-08 9,1455 9,1405 2677,91 2677,91 24490,825905 24477,436355 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-09 9,1965 9,1915 2670,7 2670,7 24561,09255 24547,73905 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-10 9,1975 9,1925 2672,11 2672,11 24576,731725 24563,371175 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-13 9,2365 9,2315 2683,59 2683,59 24786,979035 24773,561085 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-14 9,2985 9,2935 2689,48 2689,48 25008,12978 24994,68238 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-15 9,2695 9,2645 2689,02 2689,02 24925,87089 24912,42579 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-16 9,2695 9,2645 2683,87 2683,87 24878,132965 24864,713615 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-17 9,2695 9,2645 2692,32 2692,32 24956,46024 24942,99864 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-20 9,2255 9,2205 2696,42 2696,42 24875,82271 24862,34061 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-21 9,2725 9,2675 2691,74 2691,74 24959,15915 24945,70045 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-22 9,2615 9,2565 2699,07 2699,07 24997,436805 24983,941455 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-27 9,3855 9,3805 2698,16 2698,16 25323,58068 25310,08988 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-28 9,3995 9,3945 2681,17 2681,17 25201,657415 25188,251565 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-29 9,4215 9,4165 2694,83 2694,83 25389,340845 25375,866695 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-06-30 9,4415 9,4365 2698,94 2698,94 25482,04201 25468,54731 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-01 9,4595 9,4545 2702,85 2702,85 25567,609575 25554,095325 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-04 9,4795 9,4745 2721,43 2721,43 25797,795685 25784,188535 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-05 9,4575 9,4525 2730,08 2730,08 25819,7316 25806,0812 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-06 9,4195 9,4145 2720,46 2720,46 25625,37297 25611,77067 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-07 9,3965 9,3915 2736,26 2736,26 25711,26709 25697,58579 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-08 9,4175 9,4125 2708,22 2708,22 25504,66185 25491,12075 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-11 9,4665 9,4615 2738,94 2738,94 25928,17551 25914,48081 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-12 9,4645 9,4595 2743,28 2743,28 25963,77356 25950,05716 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-13 9,3915 9,3865 2737,14 2737,14 25705,85031 25692,16461 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-14 9,3675 9,3625 2749,46 2749,46 25755,56655 25741,81925 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-15 9,4055 9,4005 2755,51 2755,51 25916,949305 25903,171755 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-18 9,3895 9,3845 2749,52 2749,52 25816,61804 25802,87044 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-19 9,4425 9,4375 2744,47 2744,47 25914,657975 25900,935625 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-20 9,4265 9,4215 2750,4 2750,4 25926,6456 25912,8936 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-21 9,4625 9,4575 2750,92 2750,92 26030,5805 26016,8259 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-22 9,4495 9,4445 2758,51 2758,51 26066,540245 26052,747695 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-25 9,4275 9,4225 2765,82 2765,82 26074,76805 26060,93895 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-26 9,4155 9,4105 2773,57 2773,57 26114,548335 26100,680485 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-27 9,4725 9,4675 2778,25 2778,25 26316,973125 26303,081875 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-28 9,4515 9,4465 2788,97 2788,97 26359,949955 26346,005105 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-07-29 9,3885 9,3835 2793,51 2793,51 26226,868635 26212,901085 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-01 9,3985 9,3935 2794,9 2794,9 26267,86765 26253,89315 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-02 9,3995 9,3945 2798,79 2798,79 26307,226605 26293,232655 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-03 9,3755 9,3705 2812,31 2812,31 26366,812405 26352,750855 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-04 9,3735 9,3685 2816,6 2816,6 26401,4001 26387,3171 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-05 9,3355 9,3305 2798,81 2798,81 26128,290755 26114,296705 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-08 9,3335 9,3285 2792,24 2792,24 26061,37204 26047,41084 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-09 9,3455 9,3405 2800,98 2800,98 26176,55859 26162,55369 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-10 9,3535 9,3485 2808,69 2808,69 26271,081915 26257,038465 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-11 9,3365 9,3315 2818,71 2818,71 26316,885915 26302,792365 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-12 9,3025 9,2975 2811,56 2811,56 26154,5369 26140,4791 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-16 9,2995 9,2945 2804,99 2804,99 26085,004505 26070,979555 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-17 9,3405 9,3355 2804,43 2804,43 26194,778415 26180,756265 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-18 9,3365 9,3315 2794,51 2794,51 26090,942615 26076,970065 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-19 9,3395 9,3345 2784,44 2784,44 26005,27738 25991,35518 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-22 9,3655 9,3605 2802,49 2802,49 26246,720095 26232,707645 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-23 9,3715 9,3665 2805,77 2805,77 26294,273555 26280,244705 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-24 9,3365 9,3315 2800,42 2800,42 26146,12133 26132,11923 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-25 9,3335 9,3285 2796,6 2796,6 26102,0661 26088,0831 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-26 9,3415 9,3365 2783,02 2783,02 25997,58133 25983,66623 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-29 9,3295 9,3245 2773,77 2773,77 25877,887215 25864,018365 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-30 9,3285 9,3235 2777,03 2777,03 25905,524355 25891,639205 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-08-31 9,3585 9,3535 2780,2 2780,2 26018,5017 26004,6007 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-01 9,3365 9,3315 2802,84 2802,84 26168,71566 26154,70146 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-02 9,3025 9,2975 2819,31 2819,31 26226,631275 26212,534725 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-05 9,2845 9,2795 2822,69 2822,69 26207,265305 26193,151855 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-06 9,3225 9,3175 2828,51 2828,51 26368,784475 26354,641925 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-07 9,3075 9,3025 2845,16 2845,16 26481,3267 26467,1009 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-08 9,3255 9,3205 2855,96 2855,96 26633,25498 26618,97518 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-09 9,3445 9,3395 2850,9 2850,9 26640,23505 26625,98055 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-12 9,3015 9,2965 2862,56 2862,56 26626,10184 26611,78904 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-13 9,3015 9,2965 2872,4 2872,4 26717,6286 26703,2666 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-14 9,3365 9,3315 2856,04 2856,04 26665,41746 26651,13726 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-15 9,3425 9,3375 2862,95 2862,95 26747,110375 26732,795625 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-16 9,3465 9,3415 2865,36 2865,36 26781,08724 26766,76044 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-19 9,3355 9,3305 2875,34 2875,34 26842,73657 26828,35987 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-20 9,3395 9,3345 2877,87 2877,87 26877,866865 26863,477515 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-21 9,3405 9,3355 2880,24 2880,24 26902,88172 26888,48052 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-22 9,3405 9,3355 2857,26 2857,26 26688,23703 26673,95073 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-23 9,3695 9,3645 2848,43 2848,43 26688,364885 26674,122735 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-26 9,3815 9,3765 2856,15 2856,15 26794,971225 26780,690475 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-27 9,3885 9,3835 2874,93 2874,93 26991,280305 26976,905655 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-28 9,3935 9,3885 2870,54 2870,54 26964,41749 26950,06479 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-29 9,3845 9,3795 2883,57 2883,57 27060,862665 27046,444815 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-09-30 9,3435 9,3385 2875,89 2875,89 26870,878215 26856,498765 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-03 9,3025 9,2975 2888,92 2888,92 26874,1783 26859,7337 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-04 9,3185 9,3135 2905,48 2905,48 27074,71538 27060,18798 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-05 9,3105 9,3055 2914,74 2914,74 27137,68677 27123,11307 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-06 9,3015 9,2965 2894,99 2894,99 26927,749485 26913,274535 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-07 9,3385 9,3335 2858,17 2858,17 26691,020545 26676,729695 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-10 9,3465 9,3415 2848,62 2848,62 26624,62683 26610,38373 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-11 9,3395 9,3345 2856,41 2856,41 26677,441195 26663,159145 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-12 9,3375 9,3325 2866,66 2866,66 26767,43775 26753,10445 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-13 9,3815 9,3765 2847,66 2847,66 26715,32229 26701,08399 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-14 9,4135 9,4085 2819,07 2819,07 26537,315445 26523,220095 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-17 9,4575 9,4525 2818,19 2818,19 26653,031925 26638,940975 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-18 9,4625 9,4575 2821,35 2821,35 26697,024375 26682,917625 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-19 9,4605 9,4555 2819,93 2819,93 26677,947765 26663,848115 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-20 9,4935 9,4885 2774,44 2774,44 26339,14614 26325,27394 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-21 9,4915 9,4865 2789,43 2789,43 26475,874845 26461,927695 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-24 9,5455 9,5405 2778,61 2778,61 26523,221755 26509,328705 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-25 9,5465 9,5415 2803,57 2803,57 26764,281005 26750,263155 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-26 9,4975 9,4925 2799,41 2799,41 26587,396475 26573,399425 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-27 9,5355 9,5305 2809,49 2809,49 26789,891895 26775,844445 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-28 9,5135 9,5085 2785,21 2785,21 26497,095335 26483,169285 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-10-31 9,5495 9,5445 2787,43 2787,43 26618,562785 26604,625635 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-02 9,5855 9,5805 2842,95 2842,95 27251,097225 27236,882475 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-03 9,6515 9,6465 2857,56 2857,56 27579,74034 27565,45254 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-04 9,5875 9,5825 2888,17 2888,17 27690,329875 27675,889025 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-07 9,6075 9,6025 2886,3 2886,3 27730,12725 27715,69575 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-08 9,5685 9,5635 2897,95 2897,95 27729,034575 27714,544825 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-09 9,5575 9,5525 2898,77 2898,77 27704,994275 27690,500425 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-10 9,6105 9,6055 2901,76 2901,76 27887,36448 27872,85568 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-11 9,6365 9,6315 2896,59 2896,59 27912,989535 27898,506585 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-14 9,5505 9,5455 2914,66 2914,66 27836,46033 27821,88703 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-15 9,5805 9,5755 2927,76 2927,76 28049,40468 28034,76588 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-16 9,6235 9,6185 2920,79 2920,79 28108,222565 28093,618615 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-17 9,6355 9,6305 2905,6 2905,6 27996,9088 27982,3808 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-18 9,6085 9,6035 2909,27 2909,27 27953,720795 27939,174445 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-21 9,5915 9,5865 2923,29 2923,29 28038,736035 28024,119585 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-22 9,5585 9,5535 2929,12 2929,12 27997,99352 27983,34792 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-23 9,5155 9,5105 2933,13 2933,13 27910,198515 27895,532865 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-24 9,5125 9,5075 2940,2 2940,2 27968,6525 27953,9515 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-25 9,4965 9,4915 2938,25 2938,25 27903,091125 27888,399875 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-28 9,4835 9,4785 2947,6 2947,6 27953,5646 27938,8266 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-29 9,4785 9,4735 2924,34 2924,34 27718,35669 27703,73499 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-11-30 9,5295 9,5245 2928,3 2928,3 27905,23485 27890,59335 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-01 9,5165 9,5115 2921,46 2921,46 27802,07409 27787,46679 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-02 9,4905 9,4855 2955,32 2955,32 28047,46446 28032,68786 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-05 9,4065 9,4015 2980,67 2980,67 28037,672355 28022,769005 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-06 9,4185 9,4135 2978,88 2978,88 28056,58128 28041,68688 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-07 9,4255 9,4205 2990,16 2990,16 28183,75308 28168,80228 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-08 9,3965 9,3915 2992,88 2992,88 28122,59692 28107,63252 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-12 9,4315 9,4265 2987,55 2987,55 28177,077825 28162,140075 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-13 9,4295 9,4245 2991,01 2991,01 28203,728795 28188,773745 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-14 9,4365 9,4315 2989,46 2989,46 28210,03929 28195,09199 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-15 9,4345 9,4295 2983,75 2983,75 28150,189375 28135,270625 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-16 9,4765 9,4715 2988,06 2988,06 28316,35059 28301,41029 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-19 9,4535 9,4485 3002,24 3002,24 28381,67584 28366,66464 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-20 9,4015 9,3965 2995,64 2995,64 28163,50946 28148,53126 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-21 9,4485 9,4435 3003,5 3003,5 28378,56975 28363,55225 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-22 9,4365 9,4315 3014,73 3014,73 28448,499645 28433,425995 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-23 9,4425 9,4375 3017,24 3017,24 28490,2887 28475,2025 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-27 9,4915 9,4865 3021,77 3021,77 28681,129955 28666,021105 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-28 9,4345 9,4295 3025,28 3025,28 28542,00416 28526,87776 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-29 9,4115 9,4065 3021,99 3021,99 28441,458885 28426,348935 336826 Banque de Luxembourg S.A. BL - Equities Europe EUR 2005-12-30 9,4325 9,4275 3040,96 3040,96 28683,8552 28668,6504 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-03 6,668 6,658 688,58 688,58 4591,45144 4584,56564 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-04 6,728 6,718 683,37 683,37 4597,71336 4590,87966 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-05 6,828 6,818 678,92 678,92 4635,66576 4628,87656 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-07 6,87 6,86 674,17 674,17 4631,5479 4624,8062 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-10 6,96091 6,95091 673,67 673,67 4689,3562397 4682,6195397 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-11 6,96091 6,95091 675,34 675,34 4700,9809594 4694,2275594 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-12 6,913 6,903 673,78 673,78 4657,84114 4651,10334 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-13 6,843 6,833 675,51 675,51 4622,51493 4615,75983 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-14 6,915 6,905 671,36 671,36 4642,4544 4635,7408 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-17 6,915 6,905 671,46 671,46 4643,1459 4636,4313 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-18 6,968 6,958 672,15 672,15 4683,5412 4676,8197 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-19 6,91 6,9 675,58 675,58 4668,2578 4661,502 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-20 6,96 6,95 673,31 673,31 4686,2376 4679,5045 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-21 6,978 6,968 667,62 667,62 4658,65236 4651,97616 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-24 6,933 6,923 666,67 666,67 4622,02311 4615,35641 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-25 6,95 6,94 666,9 666,9 4634,955 4628,286 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-26 6,995 6,985 668,62 668,62 4676,9969 4670,3107 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-27 6,93 6,92 673,4 673,4 4666,662 4659,928 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-28 6,985 6,975 675,19 675,19 4716,20215 4709,45025 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-01-31 6,998 6,988 671,48 671,48 4699,01704 4692,30224 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-01 6,993 6,983 675,6 675,6 4724,4708 4717,7148 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-02 6,953 6,943 677,31 677,31 4709,33643 4702,56333 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-03 6,968 6,958 679,92 679,92 4737,68256 4730,88336 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-04 7,01 7 677,54 677,54 4749,5554 4742,78 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-07 7,065 7,055 684,38 684,38 4835,1447 4828,3009 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-08 7,123 7,113 683,99 683,99 4872,06077 4865,22087 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-09 7,1 7,09 682,72 682,72 4847,312 4840,4848 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-10 7,088 7,078 678,48 678,48 4809,06624 4802,28144 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-11 7,068 7,058 680,47 680,47 4809,56196 4802,75726 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-14 7,03 7,02 683,4 683,4 4804,302 4797,468 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-15 7,005 6,995 685,43 685,43 4801,43715 4794,58285 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-16 6,973 6,963 686,72 686,72 4788,49856 4781,63136 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-17 6,97 6,96 684,51 684,51 4771,0347 4764,1896 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-18 6,965 6,955 685,5 685,5 4774,5075 4767,6525 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-21 6,978 6,968 686,29 686,29 4788,93162 4782,06872 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-22 6,905 6,895 688,52 688,52 4754,2306 4747,3454 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-23 6,895 6,885 685,82 685,82 4728,7289 4721,8707 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-24 6,858 6,848 685,72 685,72 4702,66776 4695,81056 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-25 6,885 6,875 687,57 687,57 4733,91945 4727,04375 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-02-28 6,828 6,818 693,4 693,4 4734,5352 4727,6012 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-01 6,87 6,86 690,9 690,9 4746,483 4739,574 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-02 6,888 6,878 692,77 692,77 4771,79976 4764,87206 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-03 6,903 6,893 691,33 691,33 4772,25099 4765,33769 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-04 6,9 6,89 692,84 692,84 4780,596 4773,6676 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-07 6,84 6,83 699,4 699,4 4783,896 4776,902 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-08 6,825 6,815 698,51 698,51 4767,33075 4760,34565 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-09 6,76 6,75 699,96 699,96 4731,7296 4724,73 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-10 6,745 6,735 695,62 695,62 4691,9569 4685,0007 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-11 6,765 6,755 696,27 696,27 4710,26655 4703,30385 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-14 6,76 6,75 696,22 696,22 4706,4472 4699,485 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-15 6,815 6,805 696,73 696,73 4748,21495 4741,24765 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-16 6,81 6,8 695,93 695,93 4739,2833 4732,324 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-17 6,795 6,785 691,93 691,93 4701,66435 4694,74505 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-18 6,828 6,818 691,69 691,69 4722,85932 4715,94242 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-21 6,908 6,898 688,27 688,27 4754,56916 4747,68646 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-22 6,928 6,918 684,53 684,53 4742,42384 4735,57854 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-23 6,973 6,963 683,2 683,2 4763,9536 4757,1216 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-24 7,008 6,998 679,47 679,47 4761,72576 4754,93106 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-29 7,055 7,045 678,95 678,95 4789,99225 4783,20275 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-30 7,053 7,043 676,03 676,03 4768,03959 4761,27929 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-03-31 7,065 7,055 680,67 680,67 4808,93355 4802,12685 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-01 7,07 7,06 680,54 680,54 4811,4178 4804,6124 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-04 7,113 7,103 675,61 675,61 4805,61393 4798,85783 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-05 7,163 7,153 672,64 672,64 4818,12032 4811,39392 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-06 7,125 7,115 679,08 679,08 4838,445 4831,6542 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-07 7,083 7,073 679,56 679,56 4813,32348 4806,52788 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-08 7,153 7,143 684,67 684,67 4897,44451 4890,59781 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-11 7,098 7,088 680,58 680,58 4830,75684 4823,95104 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-12 7,048 7,038 682,75 682,75 4812,022 4805,1945 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-13 7,075 7,065 683,7 683,7 4837,1775 4830,3405 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-14 7,12 7,11 679,81 679,81 4840,2472 4833,4491 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-15 7,17 7,16 672,87 672,87 4824,4779 4817,7492 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-18 7,08 7,07 667,43 667,43 4725,4044 4718,7301 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-19 7,068 7,058 665,27 665,27 4702,12836 4695,47566 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-20 7,043 7,033 667,37 667,37 4700,28691 4693,61321 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-21 7,025 7,015 661,81 661,81 4649,21525 4642,59715 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-22 7,023 7,013 672,01 672,01 4719,52623 4712,80613 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-25 7,04 7,03 669,28 669,28 4711,7312 4705,0384 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-26 7,035 7,025 672,05 672,05 4727,87175 4721,15125 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-27 7,085 7,075 667,4 667,4 4728,529 4721,855 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-28 7,085 7,075 666,31 666,31 4720,80635 4714,14325 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-04-29 7,08 7,07 661,9 661,9 4686,252 4679,633 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-02 7,15 7,14 666,57 666,57 4765,9755 4759,3098 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-03 7,178 7,168 666,94 666,94 4787,29532 4780,62592 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-04 7,11 7,1 671,37 671,37 4773,4407 4766,727 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-06 7,085 7,075 677,95 677,95 4803,27575 4796,49625 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-09 7,168 7,158 677,04 677,04 4853,02272 4846,25232 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-10 7,178 7,168 676,97 676,97 4859,29066 4852,52096 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-11 7,15 7,14 673,38 673,38 4814,667 4807,9332 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-12 7,243 7,233 672,79 672,79 4873,01797 4866,29007 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-13 7,265 7,255 670,86 670,86 4873,7979 4867,0893 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-17 7,313 7,303 670,85 670,85 4905,92605 4899,21755 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-18 7,3 7,29 673,46 673,46 4916,258 4909,5234 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-19 7,26 7,25 678,83 678,83 4928,3058 4921,5175 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-20 7,28 7,27 682,1 682,1 4965,688 4958,867 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-23 7,32 7,31 680,09 680,09 4978,2588 4971,4579 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-24 7,295 7,285 683,6 683,6 4986,862 4980,026 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-25 7,298 7,288 682,7 682,7 4982,3446 4975,5176 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-26 7,33 7,32 680,56 680,56 4988,5048 4981,6992 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-27 7,338 7,328 682,67 682,67 5009,43246 5002,60576 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-30 7,338 7,328 682,98 682,98 5011,70724 5004,87744 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-05-31 7,403 7,393 682,97 682,97 5056,02691 5049,19721 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-01 7,428 7,418 676,13 676,13 5022,29364 5015,53234 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-02 7,473 7,463 678,88 678,88 5073,27024 5066,48144 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-03 7,438 7,428 680,72 680,72 5063,19536 5056,38816 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-07 7,448 7,438 677,71 677,71 5047,58408 5040,80698 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-08 7,435 7,425 681,03 681,03 5063,45805 5056,64775 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-09 7,523 7,513 679,38 679,38 5110,97574 5104,18194 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-10 7,525 7,515 677,36 677,36 5097,134 5090,3604 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-13 7,643 7,633 676,15 676,15 5167,81445 5161,05295 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-14 7,663 7,653 676,75 676,75 5185,93525 5179,16775 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-15 7,693 7,683 676,82 676,82 5206,77626 5200,00806 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-16 7,678 7,668 676,06 676,06 5190,78868 5184,02808 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-17 7,643 7,633 676,58 676,58 5171,10094 5164,33514 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-20 7,543 7,533 680,84 680,84 5135,57612 5128,76772 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-21 7,648 7,638 678,77 678,77 5191,23296 5184,44526 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-22 7,608 7,598 678,5 678,5 5162,028 5155,243 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-27 7,73 7,72 669,28 669,28 5173,5344 5166,8416 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-28 7,76 7,75 667,63 667,63 5180,8088 5174,1325 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-29 7,833 7,823 671,65 671,65 5261,03445 5254,31795 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-06-30 7,823 7,813 670,03 670,03 5241,64469 5234,94439 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-01 7,858 7,848 666,46 666,46 5237,04268 5230,37808 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-04 7,945 7,935 667 667 5299,315 5292,645 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-05 7,963 7,953 667,57 667,57 5315,85991 5309,18421 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-06 7,895 7,885 667,94 667,94 5273,3863 5266,7069 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-07 7,878 7,868 667 667 5254,626 5247,956 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-08 7,913 7,903 662,78 662,78 5244,57814 5237,95034 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-11 7,89 7,88 671,41 671,41 5297,4249 5290,7108 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-12 7,77 7,76 677,31 677,31 5262,6987 5255,9256 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-13 7,703 7,693 677,82 677,82 5221,24746 5214,46926 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-14 7,76 7,75 677,97 677,97 5261,0472 5254,2675 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-15 7,76 7,75 681,21 681,21 5286,1896 5279,3775 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-18 7,78 7,77 679,89 679,89 5289,5442 5282,7453 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-19 7,878 7,868 677,38 677,38 5336,39964 5329,62584 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-20 7,818 7,808 680,21 680,21 5317,88178 5311,07968 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-21 7,775 7,765 682,09 682,09 5303,24975 5296,42885 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-22 7,758 7,748 681,8 681,8 5289,4044 5282,5864 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-25 7,838 7,828 682,89 682,89 5352,49182 5345,66292 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-26 7,818 7,808 683,3 683,3 5342,0394 5335,2064 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-27 7,905 7,895 684,08 684,08 5407,6524 5400,8116 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-28 7,848 7,838 686,38 686,38 5386,71024 5379,84644 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-07-29 7,748 7,738 689,64 689,64 5343,33072 5336,43432 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-01 7,72 7,71 687,42 687,42 5306,8824 5300,0082 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-02 7,7 7,69 688,7 688,7 5302,99 5296,103 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-03 7,685 7,675 693,24 693,24 5327,5494 5320,617 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-04 7,618 7,608 697,1 697,1 5310,5078 5303,5368 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-05 7,548 7,538 695,23 695,23 5247,59604 5240,64374 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-08 7,558 7,548 691,85 691,85 5229,0023 5222,0838 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-09 7,548 7,538 692,58 692,58 5227,59384 5220,66804 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-10 7,558 7,548 696,83 696,83 5266,64114 5259,67284 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-11 7,523 7,513 696,55 696,55 5240,14565 5233,18015 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-12 7,46 7,45 700,87 700,87 5228,4902 5221,4815 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-16 7,523 7,513 698,2 698,2 5252,5586 5245,5766 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-17 7,605 7,595 692,72 692,72 5268,1356 5261,2084 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-18 7,61 7,6 693,66 693,66 5278,7526 5271,816 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-19 7,698 7,688 690,61 690,61 5316,31578 5309,40968 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-22 7,69 7,68 692,91 692,91 5328,4779 5321,5488 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-23 7,663 7,653 695,02 695,02 5325,93826 5318,98806 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-24 7,673 7,663 693,74 693,74 5323,06702 5316,12962 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-25 7,588 7,578 690,05 690,05 5236,0994 5229,1989 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-26 7,578 7,568 689,17 689,17 5222,53026 5215,63856 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-29 7,573 7,563 685,9 685,9 5194,3207 5187,4617 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-30 7,633 7,623 687,94 687,94 5251,04602 5244,16662 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-08-31 7,668 7,658 682,84 682,84 5236,01712 5229,18872 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-01 7,568 7,558 690,86 690,86 5228,42848 5221,51988 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-02 7,435 7,425 695,98 695,98 5174,6113 5167,6515 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-05 7,41 7,4 697,4 697,4 5167,734 5160,76 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-06 7,485 7,475 697,49 697,49 5220,71265 5213,73775 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-07 7,43 7,42 703,75 703,75 5228,8625 5221,825 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-08 7,498 7,488 705,1 705,1 5286,8398 5279,7888 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-09 7,523 7,513 702,13 702,13 5282,12399 5275,10269 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-12 7,555 7,545 705,55 705,55 5330,43025 5323,37475 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-13 7,57 7,56 704,38 704,38 5332,1566 5325,1128 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-14 7,61 7,6 698,49 698,49 5315,5089 5308,524 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-15 7,658 7,648 697,92 697,92 5344,67136 5337,69216 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-16 7,613 7,603 696,05 696,05 5299,02865 5292,06815 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-19 7,698 7,688 698,58 698,58 5377,66884 5370,68304 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-20 7,688 7,678 697,18 697,18 5359,91984 5352,94804 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-21 7,663 7,653 694,25 694,25 5320,03775 5313,09525 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-22 7,648 7,638 686,41 686,41 5249,66368 5242,79958 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-23 7,733 7,723 686,5 686,5 5308,7045 5301,8395 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-26 7,798 7,788 687,81 687,81 5363,54238 5356,66428 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-27 7,825 7,815 688,6 688,6 5388,295 5381,409 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-28 7,81 7,8 688,17 688,17 5374,6077 5367,726 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-29 7,785 7,775 691,04 691,04 5379,7464 5372,836 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-09-30 7,785 7,775 690,45 690,45 5375,15325 5368,24875 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-03 7,783 7,773 693,04 693,04 5393,93032 5386,99992 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-04 7,82 7,81 692,06 692,06 5411,9092 5404,9886 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-05 7,795 7,785 689,87 689,87 5377,53665 5370,63795 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-06 7,713 7,703 681,1 681,1 5253,3243 5246,5133 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-07 7,683 7,673 679,51 679,51 5220,67533 5213,88023 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-10 7,698 7,688 678,64 678,64 5224,17072 5217,38432 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-11 7,77 7,76 677,68 677,68 5265,5736 5258,7968 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-12 7,805 7,795 677,56 677,56 5288,3558 5281,5802 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-13 7,83 7,82 674,31 674,31 5279,8473 5273,1042 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-14 7,833 7,823 671,7 671,7 5261,4261 5254,7091 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-17 7,835 7,825 674,93 674,93 5288,07655 5281,32725 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-18 7,893 7,883 675,18 675,18 5329,19574 5322,44394 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-19 7,96 7,95 672,09 672,09 5349,8364 5343,1155 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-20 7,93 7,92 673,29 673,29 5339,1897 5332,4568 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-21 7,883 7,873 669,34 669,34 5276,40722 5269,71382 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-24 7,995 7,985 667,18 667,18 5334,1041 5327,4323 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-25 7,99 7,98 674,65 674,65 5390,4535 5383,707 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-26 7,868 7,858 672,07 672,07 5287,84676 5281,12606 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-27 7,868 7,858 673,76 673,76 5301,14368 5294,40608 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-28 7,825 7,815 667,43 667,43 5222,63975 5215,96545 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-10-31 7,905 7,895 673,27 673,27 5322,19935 5315,46665 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-02 7,98 7,97 682,32 682,32 5444,9136 5438,0904 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-03 8,01 8 688,48 688,48 5514,7248 5507,84 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-04 8,028 8,018 695,12 695,12 5580,42336 5573,47216 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-07 8,135 8,125 696,9 696,9 5669,2815 5662,3125 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-08 8,17 8,16 702,13 702,13 5736,4021 5729,3808 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-09 8,12 8,11 699,26 699,26 5677,9912 5670,9986 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-10 8,173 8,163 698,75 698,75 5710,88375 5703,89625 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-11 8,235 8,225 700,51 700,51 5768,69985 5761,69475 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-14 8,133 8,123 702,89 702,89 5716,60437 5709,57547 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-15 8,185 8,175 705,04 705,04 5770,7524 5763,702 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-16 8,21 8,2 702,14 702,14 5764,5694 5757,548 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-17 8,258 8,248 700,23 700,23 5782,49934 5775,49704 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-18 8,223 8,213 703,16 703,16 5782,08468 5775,05308 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-21 8,123 8,113 704,56 704,56 5723,14088 5716,09528 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-22 8,15 8,14 704,44 704,44 5741,186 5734,1416 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-23 8,048 8,038 706,16 706,16 5683,17568 5676,11408 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-24 8,053 8,043 708,62 708,62 5706,51686 5699,43066 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-25 8,078 8,068 708,8 708,8 5725,6864 5718,5984 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-28 8,118 8,108 709,49 709,49 5759,63982 5752,54492 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-29 8,015 8,005 706,84 706,84 5665,3226 5658,2542 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-11-30 8,088 8,078 708,73 708,73 5732,20824 5725,12094 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-01 8,083 8,073 704,12 704,12 5691,40196 5684,36076 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-02 8,103 8,093 709,66 709,66 5750,37498 5743,27838 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-05 8,045 8,035 712,79 712,79 5734,39555 5727,26765 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-06 7,993 7,983 709,26 709,26 5669,11518 5662,02258 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-07 8,015 8,005 708,23 708,23 5676,46345 5669,38115 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-08 7,988 7,978 707,45 707,45 5651,1106 5644,0361 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-12 7,953 7,943 704,36 704,36 5601,77508 5594,73148 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-13 7,905 7,895 705,25 705,25 5575,00125 5567,94875 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-14 7,848 7,838 709 709 5564,232 5557,142 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-15 7,858 7,848 712,07 712,07 5595,44606 5588,32536 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-16 7,903 7,893 713,97 713,97 5642,50491 5635,36521 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-19 7,865 7,855 715,98 715,98 5631,1827 5624,0229 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-20 7,848 7,838 713,56 713,56 5600,01888 5592,88328 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-21 7,948 7,938 712,11 712,11 5659,85028 5652,72918 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-22 7,98 7,97 713,18 713,18 5691,1764 5684,0446 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-23 7,955 7,945 715 715 5687,825 5680,675 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-27 8,01 8 715,1 715,1 5727,951 5720,8 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-28 7,915 7,905 712,99 712,99 5643,31585 5636,18595 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-29 7,938 7,928 713,27 713,27 5661,93726 5654,80456 372656 Banque de Luxembourg S.A. BL - Equities Horizon USD 2005-12-30 7,958 7,948 713,88 713,88 5681,05704 5673,91824 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-03 9,0065 9,0015 1012,26 1012,26 9116,91969 9111,85839 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-04 9,0345 9,0295 1014,31 1014,31 9163,783695 9158,712145 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-05 9,0615 9,0565 1014,2 1014,2 9190,1733 9185,1023 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-07 9,0615 9,0565 1014,21 1014,21 9190,263915 9185,192865 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-10 9,08619 9,08119 1016,45 1016,45 9235,6578255 9230,5755755 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-11 9,08619 9,08119 1017,32 1017,32 9243,5628108 9238,4762108 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-12 9,0455 9,0405 1016,67 1016,67 9196,288485 9191,205135 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-13 9,0505 9,0455 1015,52 1015,52 9190,96376 9185,88616 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-14 9,0455 9,0405 1017,21 1017,21 9201,173055 9196,087005 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-17 9,0685 9,0635 1019,74 1019,74 9247,51219 9242,41349 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-18 9,0585 9,0535 1021,42 1021,42 9252,53307 9247,42597 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-19 9,0225 9,0175 1022,19 1022,19 9222,709275 9217,598325 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-20 9,0315 9,0265 1023,05 1023,05 9239,676075 9234,560825 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-21 9,0505 9,0455 1020,21 1020,21 9233,410605 9228,309555 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-24 9,0655 9,0605 1019,53 1019,53 9242,549215 9237,451565 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-25 9,0715 9,0665 1020,33 1020,33 9255,923595 9250,821945 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-26 9,0885 9,0835 1021,41 1021,41 9283,084785 9277,977735 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-27 9,0675 9,0625 1021,56 1021,56 9262,9953 9257,8875 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-28 9,0955 9,0905 1021,31 1021,31 9289,325105 9284,218555 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-01-31 9,1075 9,1025 1021,78 1021,78 9305,86135 9300,75245 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-01 9,1035 9,0985 1023,81 1023,81 9320,254335 9315,135285 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-02 9,0905 9,0855 1025,06 1025,06 9318,30793 9313,18263 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-03 9,0695 9,0645 1025,6 1025,6 9301,6792 9296,5512 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-04 9,0895 9,0845 1025,31 1025,31 9319,555245 9314,428695 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-07 9,0755 9,0705 1029,27 1029,27 9341,139885 9335,993535 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-08 9,0895 9,0845 1031,57 1031,57 9376,455515 9371,297665 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-09 9,0695 9,0645 1032,44 1032,44 9363,71458 9358,55238 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-10 9,0805 9,0755 1032,29 1032,29 9373,709345 9368,547895 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-11 9,0935 9,0885 1032,03 1032,03 9384,764805 9379,604655 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-14 9,1105 9,1055 1032,93 1032,93 9410,508765 9405,344115 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-15 9,0765 9,0715 1031,71 1031,71 9364,315815 9359,157265 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-16 9,0705 9,0655 1031,32 1031,32 9354,58806 9349,43146 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-17 9,0925 9,0875 1030,34 1030,34 9368,36645 9363,21475 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-18 9,0945 9,0895 1029,32 1029,32 9361,15074 9356,00414 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-21 9,1185 9,1135 1027,49 1027,49 9369,167565 9364,030115 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-22 9,0975 9,0925 1026,65 1026,65 9339,948375 9334,815125 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-23 9,1045 9,0995 1025,02 1025,02 9332,29459 9327,16949 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-24 9,0715 9,0665 1024,45 1024,45 9293,298175 9288,175925 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-25 9,0845 9,0795 1024,68 1024,68 9308,70546 9303,58206 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-02-28 9,0505 9,0455 1027,9 1027,9 9303,00895 9297,86945 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-01 9,0565 9,0515 1028,06 1028,06 9310,62539 9305,48509 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-02 9,0645 9,0595 1029,45 1029,45 9331,449525 9326,302275 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-03 9,0675 9,0625 1028,18 1028,18 9323,02215 9317,88125 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-04 9,0415 9,0365 1028,35 1028,35 9297,826525 9292,684775 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-07 9,0425 9,0375 1031,65 1031,65 9328,695125 9323,536875 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-08 9,0345 9,0295 1033,48 1033,48 9336,97506 9331,80766 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-09 9,0365 9,0315 1030,84 1030,84 9315,18566 9310,03146 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-10 9,0655 9,0605 1027,92 1027,92 9318,60876 9313,46916 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-11 9,0795 9,0745 1025,67 1025,67 9312,570765 9307,442415 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-14 9,0695 9,0645 1025,77 1025,77 9303,221015 9298,092165 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-15 9,1035 9,0985 1025,96 1025,96 9339,82686 9334,69706 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-16 9,0975 9,0925 1028,2 1028,2 9354,0495 9348,9085 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-17 9,1045 9,0995 1026,08 1026,08 9341,94536 9336,81496 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-18 9,1035 9,0985 1026,13 1026,13 9341,374455 9336,243805 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-21 9,1265 9,1215 1026,08 1026,08 9364,51912 9359,38872 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-22 9,1265 9,1215 1025,27 1025,27 9357,126655 9352,000305 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-23 9,1165 9,1115 1026,13 1026,13 9354,714145 9349,583495 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-24 9,1135 9,1085 1024,64 1024,64 9338,05664 9332,93344 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-29 9,1315 9,1265 1026,17 1026,17 9370,471355 9365,340505 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-30 9,1425 9,1375 1025,03 1025,03 9371,336775 9366,211625 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-03-31 9,1405 9,1355 1025,25 1025,25 9371,297625 9366,171375 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-01 9,1645 9,1595 1027,4 1027,4 9415,6073 9410,4703 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-04 9,1695 9,1645 1028,88 1028,88 9434,31516 9429,17076 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-05 9,1745 9,1695 1029,9 1029,9 9448,81755 9443,66805 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-06 9,1705 9,1655 1030,89 1030,89 9453,776745 9448,622295 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-07 9,1505 9,1455 1031,53 1031,53 9439,015265 9433,857615 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-08 9,1625 9,1575 1033,22 1033,22 9466,87825 9461,71215 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-11 9,1705 9,1655 1032,5 1032,5 9468,54125 9463,37875 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-12 9,1525 9,1475 1032,43 1032,43 9449,315575 9444,153425 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-13 9,1495 9,1445 1033,3 1033,3 9454,17835 9449,01185 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-14 9,1685 9,1635 1033,5 1033,5 9475,64475 9470,47725 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-15 9,1925 9,1875 1031,53 1031,53 9482,339525 9477,181875 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-18 9,1805 9,1755 1028,55 1028,55 9442,603275 9437,460525 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-19 9,2035 9,1985 1026,16 1026,16 9444,26356 9439,13276 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-20 9,1915 9,1865 1028 1028 9448,862 9443,722 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-21 9,1855 9,1805 1026,98 1026,98 9433,32479 9428,18989 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-22 9,1625 9,1575 1027,68 1027,68 9416,118 9410,9796 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-25 9,1685 9,1635 1028,92 1028,92 9433,65302 9428,50842 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-26 9,1375 9,1325 1031,57 1031,57 9425,970875 9420,813025 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-27 9,1465 9,1415 1030,39 1030,39 9424,462135 9419,310185 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-28 9,1505 9,1455 1029,89 1029,89 9424,008445 9418,858995 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-04-29 9,1705 9,1655 1028,74 1028,74 9434,06017 9428,91647 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-02 9,1935 9,1885 1030,04 1030,04 9469,67274 9464,52254 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-03 9,2245 9,2195 1031,32 1031,32 9513,41134 9508,25474 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-04 9,1915 9,1865 1032,91 1032,91 9493,992265 9488,827715 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-06 9,1715 9,1665 1033,92 1033,92 9482,59728 9477,42768 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-09 9,1815 9,1765 1034,17 1034,17 9495,231855 9490,061005 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-10 9,1985 9,1935 1035,39 1035,39 9524,034915 9518,857965 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-11 9,2105 9,2055 1035,79 1035,79 9540,143795 9534,964845 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-12 9,2315 9,2265 1036,74 1036,74 9570,66531 9565,48161 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-13 9,2045 9,1995 1036,03 1036,03 9536,138135 9530,957985 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-17 9,2325 9,2275 1036,7 1036,7 9571,33275 9566,14925 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-18 9,2095 9,2045 1036,61 1036,61 9546,659795 9541,476745 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-19 9,1905 9,1855 1039,28 1039,28 9551,50284 9546,30644 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-20 9,1955 9,1905 1040,3 1040,3 9566,07865 9560,87715 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-23 9,1805 9,1755 1039,89 1039,89 9546,710145 9541,510695 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-24 9,1815 9,1765 1041,79 1041,79 9565,194885 9559,985935 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-25 9,1785 9,1735 1042,87 1042,87 9571,982295 9566,767945 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-26 9,1945 9,1895 1042,35 1042,35 9583,887075 9578,675325 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-27 9,1955 9,1905 1043,03 1043,03 9591,182365 9585,967215 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-30 9,1905 9,1855 1042,78 1042,78 9583,66959 9578,45569 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-05-31 9,1665 9,1615 1043,99 1043,99 9569,734335 9564,514385 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-01 9,1455 9,1405 1045,96 1045,96 9565,82718 9560,59738 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-02 9,1565 9,1515 1049,7 1049,7 9611,57805 9606,32955 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-03 9,1315 9,1265 1050,7 1050,7 9594,46705 9589,21355 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-07 9,1455 9,1405 1051,71 1051,71 9618,413805 9613,155255 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-08 9,1455 9,1405 1055,29 1055,29 9651,154695 9645,878245 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-09 9,1965 9,1915 1055,62 1055,62 9708,00933 9702,73123 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-10 9,1975 9,1925 1056,03 1056,03 9712,835925 9707,555775 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-13 9,2365 9,2315 1056,5 1056,5 9758,36225 9753,07975 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-14 9,2985 9,2935 1056,49 1056,49 9823,772265 9818,489815 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-15 9,2695 9,2645 1056,17 1056,17 9790,167815 9784,886965 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-16 9,2695 9,2645 1053,13 1053,13 9761,988535 9756,722885 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-17 9,2695 9,2645 1053,4 1053,4 9764,4913 9759,2243 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-20 9,2255 9,2205 1054,49 1054,49 9728,197495 9722,925045 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-21 9,2725 9,2675 1054,62 1054,62 9778,96395 9773,69085 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-22 9,2615 9,2565 1057,57 1057,57 9794,684555 9789,396705 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-27 9,3855 9,3805 1058,91 1058,91 9938,399805 9933,105255 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-28 9,3995 9,3945 1058,11 1058,11 9945,704945 9940,414395 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-29 9,4215 9,4165 1058,48 1058,48 9972,46932 9967,17692 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-06-30 9,4415 9,4365 1057,68 1057,68 9986,08572 9980,79732 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-01 9,4595 9,4545 1057,72 1057,72 10005,50234 10000,21374 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-04 9,4795 9,4745 1059,05 1059,05 10039,264475 10033,969225 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-05 9,4575 9,4525 1059,15 1059,15 10016,911125 10011,615375 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-06 9,4195 9,4145 1057,46 1057,46 9960,74447 9955,45717 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-07 9,3965 9,3915 1057,06 1057,06 9932,66429 9927,37899 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-08 9,4175 9,4125 1056,46 1056,46 9949,21205 9943,92975 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-11 9,4665 9,4615 1058,93 1058,93 10024,360845 10019,066195 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-12 9,4645 9,4595 1058,1 1058,1 10014,38745 10009,09695 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-13 9,3915 9,3865 1057,34 1057,34 9930,00861 9924,72191 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-14 9,3675 9,3625 1058 1058 9910,815 9905,525 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-15 9,4055 9,4005 1057,82 1057,82 9949,32601 9944,03691 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-18 9,3895 9,3845 1058,38 1058,38 9937,65901 9932,36711 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-19 9,4425 9,4375 1058,04 1058,04 9990,5427 9985,2525 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-20 9,4265 9,4215 1058,83 1058,83 9981,060995 9975,766845 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-21 9,4625 9,4575 1058,78 1058,78 10018,70575 10013,41185 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-22 9,4495 9,4445 1058,13 1058,13 9998,799435 9993,508785 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-25 9,4275 9,4225 1060,81 1060,81 10000,786275 9995,482225 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-26 9,4155 9,4105 1062,39 1062,39 10002,933045 9997,621095 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-27 9,4725 9,4675 1061,86 1061,86 10058,46885 10053,15955 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-28 9,4515 9,4465 1063,11 1063,11 10047,984165 10042,668615 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-07-29 9,3885 9,3835 1064,48 1064,48 9993,87048 9988,54808 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-01 9,3985 9,3935 1064,09 1064,09 10000,849865 9995,529415 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-02 9,3995 9,3945 1062,4 1062,4 9986,0288 9980,7168 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-03 9,3755 9,3705 1063,63 1063,63 9972,063065 9966,744915 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-04 9,3735 9,3685 1064,11 1064,11 9974,435085 9969,114535 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-05 9,3355 9,3305 1061,8 1061,8 9912,4339 9907,1249 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-08 9,3335 9,3285 1058,51 1058,51 9879,603085 9874,310535 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-09 9,3455 9,3405 1058,69 1058,69 9893,987395 9888,693945 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-10 9,3535 9,3485 1060,69 1060,69 9921,163915 9915,860465 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-11 9,3365 9,3315 1063,48 1063,48 9929,18102 9923,86362 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-12 9,3025 9,2975 1064,56 1064,56 9903,0694 9897,7466 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-16 9,2995 9,2945 1066,57 1066,57 9918,567715 9913,234865 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-17 9,3405 9,3355 1067,18 1067,18 9967,99479 9962,65889 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-18 9,3365 9,3315 1066,34 1066,34 9955,88341 9950,55171 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-19 9,3395 9,3345 1067,19 1067,19 9967,021005 9961,685055 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-22 9,3655 9,3605 1068,24 1068,24 10004,60172 9999,26052 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-23 9,3715 9,3665 1068,88 1068,88 10017,00892 10011,66452 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-24 9,3365 9,3315 1068,5 1068,5 9976,05025 9970,70775 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-25 9,3335 9,3285 1066,92 1066,92 9958,09782 9952,76322 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-26 9,3415 9,3365 1065,47 1065,47 9953,088005 9947,760655 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-29 9,3295 9,3245 1064,24 1064,24 9928,82708 9923,50588 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-30 9,3285 9,3235 1064,73 1064,73 9932,333805 9927,010155 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-08-31 9,3585 9,3535 1065,41 1065,41 9970,639485 9965,312435 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-01 9,3365 9,3315 1069,12 1069,12 9981,83888 9976,49328 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-02 9,3025 9,2975 1071,33 1071,33 9966,047325 9960,690675 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-05 9,2845 9,2795 1071,73 1071,73 9950,477185 9945,118535 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-06 9,3225 9,3175 1073,86 1073,86 10011,05985 10005,69055 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-07 9,3075 9,3025 1075,44 1075,44 10009,6578 10004,2806 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-08 9,3255 9,3205 1076,02 1076,02 10034,42451 10029,04441 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-09 9,3445 9,3395 1076,01 1076,01 10054,775445 10049,395395 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-12 9,3015 9,2965 1078,51 1078,51 10031,760765 10026,368215 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-13 9,3015 9,2965 1079,01 1079,01 10036,411515 10031,016465 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-14 9,3365 9,3315 1077,33 1077,33 10058,491545 10053,104895 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-15 9,3425 9,3375 1077,61 1077,61 10067,571425 10062,183375 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-16 9,3465 9,3415 1077,77 1077,77 10073,377305 10067,988455 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-19 9,3355 9,3305 1077,89 1077,89 10062,642095 10057,252645 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-20 9,3395 9,3345 1079,46 1079,46 10081,61667 10076,21937 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-21 9,3405 9,3355 1079,76 1079,76 10085,49828 10080,09948 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-22 9,3405 9,3355 1078,13 1078,13 10070,273265 10064,882615 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-23 9,3695 9,3645 1079,48 1079,48 10114,18786 10108,79046 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-26 9,3815 9,3765 1079,69 1079,69 10129,111735 10123,713285 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-27 9,3885 9,3835 1080,05 1080,05 10140,049425 10134,649175 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-28 9,3935 9,3885 1079,86 1079,86 10143,66491 10138,26561 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-29 9,3845 9,3795 1080,96 1080,96 10144,26912 10138,86432 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-09-30 9,3435 9,3385 1081,24 1081,24 10102,56594 10097,15974 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-03 9,3025 9,2975 1082,08 1082,08 10066,0492 10060,6388 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-04 9,3185 9,3135 1083,92 1083,92 10100,50852 10095,08892 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-05 9,3105 9,3055 1083,45 1083,45 10087,461225 10082,043975 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-06 9,3015 9,2965 1080,53 1080,53 10050,549795 10045,147145 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-07 9,3385 9,3335 1074 1074 10029,549 10024,179 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-10 9,3465 9,3415 1072,12 1072,12 10020,56958 10015,20898 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-11 9,3395 9,3345 1072,9 1072,9 10020,34955 10014,98505 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-12 9,3375 9,3325 1074,05 1074,05 10028,941875 10023,571625 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-13 9,3815 9,3765 1070,82 1070,82 10045,89783 10040,54373 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-14 9,4135 9,4085 1067,29 1067,29 10046,934415 10041,597965 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-17 9,4575 9,4525 1066,83 1066,83 10089,544725 10084,210575 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-18 9,4625 9,4575 1065,99 1065,99 10086,930375 10081,600425 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-19 9,4605 9,4555 1065,72 1065,72 10082,24406 10076,91546 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-20 9,4935 9,4885 1062,93 1062,93 10090,925955 10085,611305 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-21 9,4915 9,4865 1062,24 1062,24 10082,25096 10076,93976 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-24 9,5455 9,5405 1062,74 1062,74 10144,38467 10139,07097 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-25 9,5465 9,5415 1066,2 1066,2 10178,4783 10173,1473 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-26 9,4975 9,4925 1063,14 1063,14 10097,17215 10091,85645 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-27 9,5355 9,5305 1061,81 1061,81 10124,889255 10119,580205 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-28 9,5135 9,5085 1057,39 1057,39 10059,479765 10054,192815 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-10-31 9,5495 9,5445 1058,35 1058,35 10106,713325 10101,421575 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-02 9,5855 9,5805 1064,72 1064,72 10205,87356 10200,54996 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-03 9,6515 9,6465 1066,8 1066,8 10296,2202 10290,8862 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-04 9,5875 9,5825 1069,74 1069,74 10256,13225 10250,78355 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-07 9,6075 9,6025 1071,69 1071,69 10296,261675 10290,903225 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-08 9,5685 9,5635 1073,44 1073,44 10271,21064 10265,84344 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-09 9,5575 9,5525 1074,09 1074,09 10265,615175 10260,244725 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-10 9,6105 9,6055 1072,54 1072,54 10307,64567 10302,28297 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-11 9,6365 9,6315 1073,18 1073,18 10341,69907 10336,33317 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-14 9,5505 9,5455 1075,84 1075,84 10274,80992 10269,43072 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-15 9,5805 9,5755 1076,27 1076,27 10311,204735 10305,823385 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-16 9,6235 9,6185 1075,41 1075,41 10349,208135 10343,831085 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-17 9,6355 9,6305 1076,22 1076,22 10369,91781 10364,53671 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-18 9,6085 9,6035 1077,04 1077,04 10348,73884 10343,35364 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-21 9,5915 9,5865 1076,16 1076,16 10321,98864 10316,60784 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-22 9,5585 9,5535 1077,59 1077,59 10300,144015 10294,756065 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-23 9,5155 9,5105 1078,34 1078,34 10260,94427 10255,55257 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-24 9,5125 9,5075 1079,48 1079,48 10268,5535 10263,1561 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-25 9,4965 9,4915 1081,92 1081,92 10274,45328 10269,04368 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-28 9,4835 9,4785 1083,39 1083,39 10274,329065 10268,912115 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-29 9,4785 9,4735 1081,26 1081,26 10248,72291 10243,31661 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-11-30 9,5295 9,5245 1080,86 1080,86 10300,05537 10294,65107 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-01 9,5165 9,5115 1079,57 1079,57 10273,727905 10268,330055 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-02 9,4905 9,4855 1084,61 1084,61 10293,491205 10288,068155 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-05 9,4065 9,4015 1087,9 1087,9 10233,33135 10227,89185 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-06 9,4185 9,4135 1086,58 1086,58 10233,95373 10228,52083 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-07 9,4255 9,4205 1087,49 1087,49 10250,136995 10244,699545 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-08 9,3965 9,3915 1087,83 1087,83 10221,794595 10216,355445 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-12 9,4315 9,4265 1084,71 1084,71 10230,442365 10225,018815 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-13 9,4295 9,4245 1085,24 1085,24 10233,27058 10227,84438 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-14 9,4365 9,4315 1086,61 1086,61 10253,795265 10248,362215 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-15 9,4345 9,4295 1087,78 1087,78 10262,66041 10257,22151 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-16 9,4765 9,4715 1087,76 1087,76 10308,15764 10302,71884 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-19 9,4535 9,4485 1088,96 1088,96 10294,48336 10289,03856 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-20 9,4015 9,3965 1088,29 1088,29 10231,558435 10226,116985 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-21 9,4485 9,4435 1088,98 1088,98 10289,22753 10283,78263 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-22 9,4365 9,4315 1089,9 1089,9 10284,84135 10279,39185 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-23 9,4425 9,4375 1090,2 1090,2 10294,2135 10288,7625 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-27 9,4915 9,4865 1091,1 1091,1 10356,17565 10350,72015 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-28 9,4345 9,4295 1090,88 1090,88 10291,90736 10286,45296 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-29 9,4115 9,4065 1091,97 1091,97 10277,075655 10271,615805 480145 Banque de Luxembourg S.A. BL - Global 30 EUR 2005-12-30 9,4325 9,4275 1092,56 1092,56 10305,5722 10300,1094 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-03 9,0065 9,0015 1044,33 1044,33 9405,758145 9400,536495 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-04 9,0345 9,0295 1046,23 1046,23 9452,164935 9446,933785 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-05 9,0615 9,0565 1045,95 1045,95 9477,875925 9472,646175 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-07 9,0615 9,0565 1045,08 1045,08 9469,99242 9464,76702 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-10 9,08619 9,08119 1048,09 1048,09 9523,1448771 9517,9044271 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-11 9,08619 9,08119 1049,5 1049,5 9535,956405 9530,708905 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-12 9,0455 9,0405 1048,07 1048,07 9480,317185 9475,076835 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-13 9,0505 9,0455 1046,23 1046,23 9468,904615 9463,673465 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-14 9,0455 9,0405 1047,91 1047,91 9478,869905 9473,630355 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-17 9,0685 9,0635 1051,88 1051,88 9538,97378 9533,71438 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-18 9,0585 9,0535 1054,56 1054,56 9552,73176 9547,45896 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-19 9,0225 9,0175 1056,21 1056,21 9529,654725 9524,373675 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-20 9,0315 9,0265 1056,54 1056,54 9542,14101 9536,85831 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-21 9,0505 9,0455 1052,67 1052,67 9527,189835 9521,926485 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-24 9,0655 9,0605 1051,16 1051,16 9529,29098 9524,03518 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-25 9,0715 9,0665 1051,45 1051,45 9538,228675 9532,971425 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-26 9,0885 9,0835 1053,58 1053,58 9575,46183 9570,19393 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-27 9,0675 9,0625 1054,69 1054,69 9563,401575 9558,128125 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-28 9,0955 9,0905 1055,39 1055,39 9599,299745 9594,022795 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-01-31 9,1075 9,1025 1054,45 1054,45 9603,403375 9598,131125 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-01 9,1035 9,0985 1058,24 1058,24 9633,68784 9628,39664 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-02 9,0905 9,0855 1060,44 1060,44 9639,92982 9634,62762 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-03 9,0695 9,0645 1061,82 1061,82 9630,17649 9624,86739 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-04 9,0895 9,0845 1061,89 1061,89 9652,049155 9646,739705 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-07 9,0755 9,0705 1068,03 1068,03 9692,906265 9687,566115 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-08 9,0895 9,0845 1071,44 1071,44 9738,85388 9733,49668 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-09 9,0695 9,0645 1072,58 1072,58 9727,76431 9722,40141 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-10 9,0805 9,0755 1070,99 1070,99 9725,124695 9719,769745 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-11 9,0935 9,0885 1070,58 1070,58 9735,31923 9729,96633 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-14 9,1105 9,1055 1073,07 1073,07 9776,204235 9770,838885 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-15 9,0765 9,0715 1071,61 1071,61 9726,468165 9721,110115 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-16 9,0705 9,0655 1071,8 1071,8 9721,7619 9716,4029 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-17 9,0925 9,0875 1070,64 1070,64 9734,7942 9729,441 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-18 9,0945 9,0895 1070,15 1070,15 9732,479175 9727,128425 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-21 9,1185 9,1135 1069,04 1069,04 9748,04124 9742,69604 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-22 9,0975 9,0925 1068,83 1068,83 9723,680925 9718,336775 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-23 9,1045 9,0995 1065,02 1065,02 9696,47459 9691,14949 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-24 9,0715 9,0665 1064,1 1064,1 9652,98315 9647,66265 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-25 9,0845 9,0795 1065,51 1065,51 9679,625595 9674,298045 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-02-28 9,0505 9,0455 1071,91 1071,91 9701,321455 9695,961905 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-01 9,0565 9,0515 1072 1072 9708,568 9703,208 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-02 9,0645 9,0595 1075,43 1075,43 9748,235235 9742,858085 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-03 9,0675 9,0625 1074,07 1074,07 9739,129725 9733,759375 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-04 9,0415 9,0365 1074,02 1074,02 9710,75183 9705,38173 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-07 9,0425 9,0375 1078,84 1078,84 9755,4107 9750,0165 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-08 9,0345 9,0295 1080,86 1080,86 9765,02967 9759,62537 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-09 9,0365 9,0315 1076,39 1076,39 9726,798235 9721,416285 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-10 9,0655 9,0605 1071,71 1071,71 9715,587005 9710,228455 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-11 9,0795 9,0745 1068,18 1068,18 9698,54031 9693,19941 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-14 9,0695 9,0645 1067,99 1067,99 9686,135305 9680,795355 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-15 9,1035 9,0985 1068,84 1068,84 9730,18494 9724,84074 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-16 9,0975 9,0925 1071,39 1071,39 9746,970525 9741,613575 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-17 9,1045 9,0995 1066,29 1066,29 9708,037305 9702,705855 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-18 9,1035 9,0985 1066,4 1066,4 9707,9724 9702,6404 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-21 9,1265 9,1215 1066,74 1066,74 9735,60261 9730,26891 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-22 9,1265 9,1215 1065,79 1065,79 9726,932435 9721,603485 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-23 9,1165 9,1115 1066,46 1066,46 9722,38259 9717,05029 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-24 9,1135 9,1085 1065 1065 9705,8775 9700,5525 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-29 9,1315 9,1265 1067,15 1067,15 9744,680225 9739,344475 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-30 9,1425 9,1375 1064,73 1064,73 9734,294025 9728,970375 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-03-31 9,1405 9,1355 1064,46 1064,46 9729,69663 9724,37433 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-01 9,1645 9,1595 1066,8 1066,8 9776,6886 9771,3546 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-04 9,1695 9,1645 1068,19 1068,19 9794,768205 9789,427255 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-05 9,1745 9,1695 1069,38 1069,38 9811,02681 9805,67991 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-06 9,1705 9,1655 1072,07 1072,07 9831,417935 9826,057585 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-07 9,1505 9,1455 1073,31 1073,31 9821,323155 9815,956605 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-08 9,1625 9,1575 1075,66 1075,66 9855,73475 9850,35645 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-11 9,1705 9,1655 1074,55 1074,55 9854,160775 9848,788025 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-12 9,1525 9,1475 1073,6 1073,6 9826,124 9820,756 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-13 9,1495 9,1445 1074,95 1074,95 9835,255025 9829,880275 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-14 9,1685 9,1635 1073,84 1073,84 9845,50204 9840,13284 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-15 9,1925 9,1875 1069,84 1069,84 9834,5042 9829,155 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-18 9,1805 9,1755 1062,37 1062,37 9753,087785 9747,775935 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-19 9,2035 9,1985 1057,01 1057,01 9728,191535 9722,906485 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-20 9,1915 9,1865 1060,09 1060,09 9743,817235 9738,516785 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-21 9,1855 9,1805 1057,71 1057,71 9715,595205 9710,306655 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-22 9,1625 9,1575 1060,66 1060,66 9718,29725 9712,99395 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-25 9,1685 9,1635 1061,87 1061,87 9735,755095 9730,445745 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-26 9,1375 9,1325 1066,61 1066,61 9746,148875 9740,815825 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-27 9,1465 9,1415 1064,47 1064,47 9736,174855 9730,852505 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-28 9,1505 9,1455 1062,48 1062,48 9722,22324 9716,91084 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-04-29 9,1705 9,1655 1059,24 1059,24 9713,76042 9708,46422 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-02 9,1935 9,1885 1061,92 1061,92 9762,76152 9757,45192 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-03 9,2245 9,2195 1064,31 1064,31 9817,727595 9812,406045 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-04 9,1915 9,1865 1066,71 1066,71 9804,664965 9799,331415 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-06 9,1715 9,1665 1070,42 1070,42 9817,35703 9812,00493 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-09 9,1815 9,1765 1071,59 1071,59 9838,803585 9833,445635 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-10 9,1985 9,1935 1072,79 1072,79 9868,058815 9862,694865 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-11 9,2105 9,2055 1071,1 1071,1 9865,36655 9860,01105 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-12 9,2315 9,2265 1071,8 1071,8 9894,3217 9888,9627 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-13 9,2045 9,1995 1070,51 1070,51 9853,509295 9848,156745 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-17 9,2325 9,2275 1071,5 1071,5 9892,62375 9887,26625 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-18 9,2095 9,2045 1071,17 1071,17 9864,940115 9859,584265 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-19 9,1905 9,1855 1076,12 1076,12 9890,08086 9884,70026 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-20 9,1955 9,1905 1078,67 1078,67 9918,909985 9913,516635 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-23 9,1805 9,1755 1078,69 1078,69 9902,913545 9897,520095 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-24 9,1815 9,1765 1081,49 1081,49 9929,700435 9924,292985 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-25 9,1785 9,1735 1082,82 1082,82 9938,66337 9933,24927 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-26 9,1945 9,1895 1081,3 1081,3 9942,01285 9936,60635 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-27 9,1955 9,1905 1083,63 1083,63 9964,519665 9959,101515 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-30 9,1905 9,1855 1083,37 1083,37 9956,711985 9951,295135 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-05-31 9,1665 9,1615 1085,52 1085,52 9950,41908 9944,99148 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-01 9,1455 9,1405 1086,51 1086,51 9936,677205 9931,244655 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-02 9,1565 9,1515 1092,65 1092,65 10004,849725 9999,386475 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-03 9,1315 9,1265 1094,18 1094,18 9991,50467 9986,03377 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-07 9,1455 9,1405 1095,07 1095,07 10014,962685 10009,487335 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-08 9,1455 9,1405 1099,72 1099,72 10057,48926 10051,99066 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-09 9,1965 9,1915 1099,02 1099,02 10107,13743 10101,64233 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-10 9,1975 9,1925 1100,53 1100,53 10122,124675 10116,622025 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-13 9,2365 9,2315 1101,85 1101,85 10177,237525 10171,728275 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-14 9,2985 9,2935 1103,01 1103,01 10256,338485 10250,823435 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-15 9,2695 9,2645 1103,1 1103,1 10225,18545 10219,66995 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-16 9,2695 9,2645 1100,52 1100,52 10201,27014 10195,76754 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-17 9,2695 9,2645 1102,01 1102,01 10215,081695 10209,571645 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-20 9,2255 9,2205 1103,29 1103,29 10178,401895 10172,885445 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-21 9,2725 9,2675 1103,05 1103,05 10228,031125 10222,515875 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-22 9,2615 9,2565 1105,59 1105,59 10239,421785 10233,893835 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-27 9,3855 9,3805 1104,09 1104,09 10362,436695 10356,916245 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-28 9,3995 9,3945 1102,1 1102,1 10359,18895 10353,67845 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-29 9,4215 9,4165 1104,9 1104,9 10409,81535 10404,29085 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-06-30 9,4415 9,4365 1103,87 1103,87 10422,188605 10416,669255 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-01 9,4595 9,4545 1103,88 1103,88 10442,15286 10436,63346 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-04 9,4795 9,4745 1107,35 1107,35 10497,124325 10491,587575 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-05 9,4575 9,4525 1108,93 1108,93 10487,705475 10482,160825 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-06 9,4195 9,4145 1107,53 1107,53 10432,378835 10426,841185 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-07 9,3965 9,3915 1107,09 1107,09 10402,771185 10397,235735 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-08 9,4175 9,4125 1104,53 1104,53 10401,911275 10396,388625 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-11 9,4665 9,4615 1110,13 1110,13 10509,045645 10503,494995 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-12 9,4645 9,4595 1109,94 1109,94 10505,02713 10499,47743 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-13 9,3915 9,3865 1108,38 1108,38 10409,35077 10403,80887 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-14 9,3675 9,3625 1110,46 1110,46 10402,23405 10396,68175 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-15 9,4055 9,4005 1111,13 1111,13 10450,733215 10445,177565 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-18 9,3895 9,3845 1112,3 1112,3 10443,94085 10438,37935 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-19 9,4425 9,4375 1110,9 1110,9 10489,67325 10484,11875 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-20 9,4265 9,4215 1113,23 1113,23 10493,862595 10488,296445 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-21 9,4625 9,4575 1114,21 1114,21 10543,212125 10537,641075 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-22 9,4495 9,4445 1112,61 1112,61 10513,608195 10508,045145 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-25 9,4275 9,4225 1115,32 1115,32 10514,6793 10509,1027 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-26 9,4155 9,4105 1117,11 1117,11 10518,149205 10512,563655 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-27 9,4725 9,4675 1117,1 1117,1 10581,72975 10576,14425 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-28 9,4515 9,4465 1119,3 1119,3 10579,06395 10573,46745 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-07-29 9,3885 9,3835 1121,9 1121,9 10532,95815 10527,34865 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-01 9,3985 9,3935 1120,48 1120,48 10530,83128 10525,22888 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-02 9,3995 9,3945 1119,64 1119,64 10524,05618 10518,45798 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-03 9,3755 9,3705 1122,94 1122,94 10528,12397 10522,50927 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-04 9,3735 9,3685 1123,52 1123,52 10531,31472 10525,69712 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-05 9,3355 9,3305 1119,36 1119,36 10449,78528 10444,18848 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-08 9,3335 9,3285 1114,81 1114,81 10405,079135 10399,505085 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-09 9,3455 9,3405 1114,89 1114,89 10419,204495 10413,630045 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-10 9,3535 9,3485 1118,33 1118,33 10460,299655 10454,708005 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-11 9,3365 9,3315 1121,44 1121,44 10470,32456 10464,71736 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-12 9,3025 9,2975 1123,2 1123,2 10448,568 10442,952 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-16 9,2995 9,2945 1123,96 1123,96 10452,26602 10446,64622 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-17 9,3405 9,3355 1123,17 1123,17 10490,969385 10485,353535 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-18 9,3365 9,3315 1121,56 1121,56 10471,44494 10465,83714 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-19 9,3395 9,3345 1122,09 1122,09 10479,759555 10474,149105 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-22 9,3655 9,3605 1124,1 1124,1 10527,75855 10522,13805 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-23 9,3715 9,3665 1125,07 1125,07 10543,593505 10537,968155 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-24 9,3365 9,3315 1124,01 1124,01 10494,319365 10488,699315 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-25 9,3335 9,3285 1121,77 1121,77 10470,040295 10464,431445 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-26 9,3415 9,3365 1118,81 1118,81 10451,363615 10445,769565 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-29 9,3295 9,3245 1115,94 1115,94 10411,16223 10405,58253 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-30 9,3285 9,3235 1116,94 1116,94 10419,37479 10413,79009 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-08-31 9,3585 9,3535 1117,78 1117,78 10460,74413 10455,15523 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-01 9,3365 9,3315 1123,28 1123,28 10487,50372 10481,88732 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-02 9,3025 9,2975 1125,94 1125,94 10474,05685 10468,42715 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-05 9,2845 9,2795 1126,15 1126,15 10455,739675 10450,108925 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-06 9,3225 9,3175 1128,25 1128,25 10518,110625 10512,469375 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-07 9,3075 9,3025 1132,05 1132,05 10536,555375 10530,895125 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-08 9,3255 9,3205 1133,26 1133,26 10568,21613 10562,54983 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-09 9,3445 9,3395 1132,06 1132,06 10578,53467 10572,87437 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-12 9,3015 9,2965 1136,5 1136,5 10571,15475 10565,47225 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-13 9,3015 9,2965 1138,73 1138,73 10591,897095 10586,203445 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-14 9,3365 9,3315 1134,63 1134,63 10593,472995 10587,799845 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-15 9,3425 9,3375 1135,47 1135,47 10608,128475 10602,451125 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-16 9,3465 9,3415 1137,46 1137,46 10631,26989 10625,58259 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-19 9,3355 9,3305 1138,2 1138,2 10625,6661 10619,9751 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-20 9,3395 9,3345 1138,7 1138,7 10634,88865 10629,19515 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-21 9,3405 9,3355 1137,41 1137,41 10623,978105 10618,291055 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-22 9,3405 9,3355 1131,92 1131,92 10572,69876 10567,03916 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-23 9,3695 9,3645 1134,15 1134,15 10626,418425 10620,747675 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-26 9,3815 9,3765 1135,34 1135,34 10651,19221 10645,51551 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-27 9,3885 9,3835 1137,8 1137,8 10682,2353 10676,5463 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-28 9,3935 9,3885 1137,58 1137,58 10685,85773 10680,16983 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-29 9,3845 9,3795 1140,12 1140,12 10699,45614 10693,75554 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-09-30 9,3435 9,3385 1140,99 1140,99 10660,840065 10655,135115 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-03 9,3025 9,2975 1142,43 1142,43 10627,455075 10621,742925 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-04 9,3185 9,3135 1146,01 1146,01 10679,094185 10673,364135 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-05 9,3105 9,3055 1144,76 1144,76 10658,28798 10652,56418 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-06 9,3015 9,2965 1138,21 1138,21 10587,060315 10581,369265 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-07 9,3385 9,3335 1128,59 1128,59 10539,337715 10533,694765 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-10 9,3465 9,3415 1126,47 1126,47 10528,551855 10522,919505 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-11 9,3395 9,3345 1126,88 1126,88 10524,49576 10518,86136 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-12 9,3375 9,3325 1129,24 1129,24 10544,2785 10538,6323 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-13 9,3815 9,3765 1124,61 1124,61 10550,528715 10544,905665 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-14 9,4135 9,4085 1119,67 1119,67 10540,013545 10534,415195 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-17 9,4575 9,4525 1119,77 1119,77 10590,224775 10584,625925 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-18 9,4625 9,4575 1119,94 1119,94 10597,43225 10591,83255 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-19 9,4605 9,4555 1118,55 1118,55 10582,042275 10576,449525 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-20 9,4935 9,4885 1114,04 1114,04 10576,13874 10570,56854 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-21 9,4915 9,4865 1113,79 1113,79 10571,537785 10565,968835 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-24 9,5455 9,5405 1112,65 1112,65 10620,800575 10615,237325 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-25 9,5465 9,5415 1119,03 1119,03 10682,819895 10677,224745 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-26 9,4975 9,4925 1116,22 1116,22 10601,29945 10595,71835 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-27 9,5355 9,5305 1117,23 1117,23 10653,346665 10647,760515 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-28 9,5135 9,5085 1110,6 1110,6 10565,6931 10560,1401 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-10-31 9,5495 9,5445 1113,3 1113,3 10631,45835 10625,89185 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-02 9,5855 9,5805 1124,08 1124,08 10774,86884 10769,24844 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-03 9,6515 9,6465 1128,84 1128,84 10894,99926 10889,35506 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-04 9,5875 9,5825 1134,62 1134,62 10878,16925 10872,49615 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-07 9,6075 9,6025 1137,38 1137,38 10927,37835 10921,69145 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-08 9,5685 9,5635 1140,32 1140,32 10911,15192 10905,45032 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-09 9,5575 9,5525 1139,52 1139,52 10890,9624 10885,2648 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-10 9,6105 9,6055 1138,62 1138,62 10942,70751 10937,01441 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-11 9,6365 9,6315 1140 1140 10985,61 10979,91 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-14 9,5505 9,5455 1143,73 1143,73 10923,193365 10917,474715 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-15 9,5805 9,5755 1144,63 1144,63 10966,127715 10960,404565 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-16 9,6235 9,6185 1143,28 1143,28 11002,35508 10996,63868 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-17 9,6355 9,6305 1142,6 1142,6 11009,5223 11003,8093 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-18 9,6085 9,6035 1144,7 1144,7 10998,84995 10993,12645 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-21 9,5915 9,5865 1146,66 1146,66 10998,18939 10992,45609 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-22 9,5585 9,5535 1148,19 1148,19 10974,974115 10969,233165 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-23 9,5155 9,5105 1149,61 1149,61 10939,113955 10933,365905 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-24 9,5125 9,5075 1150,8 1150,8 10946,985 10941,231 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-25 9,4965 9,4915 1152,54 1152,54 10945,09611 10939,33341 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-28 9,4835 9,4785 1154,49 1154,49 10948,605915 10942,833465 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-29 9,4785 9,4735 1151,1 1151,1 10910,70135 10904,94585 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-11-30 9,5295 9,5245 1151,58 1151,58 10973,98161 10968,22371 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-01 9,5165 9,5115 1149 1149 10934,4585 10928,7135 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-02 9,4905 9,4855 1157,14 1157,14 10981,83717 10976,05147 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-05 9,4065 9,4015 1162,31 1162,31 10933,269015 10927,457465 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-06 9,4185 9,4135 1160,41 1160,41 10929,321585 10923,519535 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-07 9,4255 9,4205 1161,16 1161,16 10944,51358 10938,70778 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-08 9,3965 9,3915 1161,48 1161,48 10913,84682 10908,03942 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-12 9,4315 9,4265 1157,31 1157,31 10915,169265 10909,382715 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-13 9,4295 9,4245 1158,3 1158,3 10922,18985 10916,39835 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-14 9,4365 9,4315 1160,4 1160,4 10950,1146 10944,3126 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-15 9,4345 9,4295 1161,15 1161,15 10954,869675 10949,063925 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-16 9,4765 9,4715 1162,41 1162,41 11015,578365 11009,766315 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-19 9,4535 9,4485 1164,06 1164,06 11004,44121 10998,62091 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-20 9,4015 9,3965 1162,41 1162,41 10928,397615 10922,585565 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-21 9,4485 9,4435 1164,06 1164,06 10998,62091 10992,80061 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-22 9,4365 9,4315 1166,21 1166,21 11004,940665 10999,109615 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-23 9,4425 9,4375 1167,21 1167,21 11021,380425 11015,544375 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-27 9,4915 9,4865 1167,96 1167,96 11085,69234 11079,85254 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-28 9,4345 9,4295 1167,52 1167,52 11014,96744 11009,12984 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-29 9,4115 9,4065 1168,05 1168,05 10993,102575 10987,262325 444315 Banque de Luxembourg S.A. BL - Global 50 EUR 2005-12-30 9,4325 9,4275 1170,04 1170,04 11036,4023 11030,5521 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-03 9,0065 9,0015 1179,9 1179,9 10626,76935 10620,86985 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-04 9,0345 9,0295 1185,51 1185,51 10710,490095 10704,562545 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-05 9,0615 9,0565 1185,82 1185,82 10745,30793 10739,37883 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-07 9,0615 9,0565 1183,34 1183,34 10722,83541 10716,91871 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-10 9,08619 9,08119 1187,26 1187,26 10787,6699394 10781,7336394 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-11 9,08619 9,08119 1189,33 1189,33 10806,4783527 10800,5317027 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-12 9,0455 9,0405 1186,85 1186,85 10735,651675 10729,717425 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-13 9,0505 9,0455 1183,11 1183,11 10707,737055 10701,821505 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-14 9,0455 9,0405 1185,7 1185,7 10725,24935 10719,32085 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-17 9,0685 9,0635 1192,29 1192,29 10812,281865 10806,320415 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-18 9,0585 9,0535 1196,93 1196,93 10842,390405 10836,405755 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-19 9,0225 9,0175 1200,05 1200,05 10827,451125 10821,450875 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-20 9,0315 9,0265 1200,09 1200,09 10838,612835 10832,612385 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-21 9,0505 9,0455 1194,95 1194,95 10814,894975 10808,920225 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-24 9,0655 9,0605 1191,86 1191,86 10804,80683 10798,84753 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-25 9,0715 9,0665 1191,52 1191,52 10808,87368 10802,91608 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-26 9,0885 9,0835 1195,38 1195,38 10864,21113 10858,23423 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-27 9,0675 9,0625 1197,83 1197,83 10861,323525 10855,334375 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-28 9,0955 9,0905 1200,05 1200,05 10915,054775 10909,054525 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-01-31 9,1075 9,1025 1197,65 1197,65 10907,597375 10901,609125 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-01 9,1035 9,0985 1203,89 1203,89 10959,612615 10953,593165 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-02 9,0905 9,0855 1207,49 1207,49 10976,687845 10970,650395 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-03 9,0695 9,0645 1209,88 1209,88 10973,00666 10966,95726 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-04 9,0895 9,0845 1211,35 1211,35 11010,565825 11004,509075 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-07 9,0755 9,0705 1220,61 1220,61 11077,646055 11071,543005 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-08 9,0895 9,0845 1226,67 1226,67 11149,816965 11143,683615 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-09 9,0695 9,0645 1228,86 1228,86 11145,14577 11139,00147 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-10 9,0805 9,0755 1225,23 1225,23 11125,701015 11119,574865 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-11 9,0935 9,0885 1223,92 1223,92 11129,71652 11123,59692 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-14 9,1105 9,1055 1228,34 1228,34 11190,79157 11184,64987 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-15 9,0765 9,0715 1226,68 1226,68 11133,96102 11127,82762 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-16 9,0705 9,0655 1227,64 1227,64 11135,30862 11129,17042 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-17 9,0925 9,0875 1226,23 1226,23 11149,496275 11143,365125 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-18 9,0945 9,0895 1225,95 1225,95 11149,402275 11143,272525 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-21 9,1185 9,1135 1226,09 1226,09 11180,101665 11173,971215 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-22 9,0975 9,0925 1226,61 1226,61 11159,084475 11152,951425 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-23 9,1045 9,0995 1219,57 1219,57 11103,575065 11097,477215 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-24 9,0715 9,0665 1217,93 1217,93 11048,451995 11042,362345 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-25 9,0845 9,0795 1221,08 1221,08 11092,90126 11086,79586 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-02-28 9,0505 9,0455 1231,95 1231,95 11149,763475 11143,603725 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-01 9,0565 9,0515 1231,48 1231,48 11152,89862 11146,74122 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-02 9,0645 9,0595 1238,29 1238,29 11224,479705 11218,288255 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-03 9,0675 9,0625 1236,66 1236,66 11213,41455 11207,23125 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-04 9,0415 9,0365 1236,26 1236,26 11177,64479 11171,46349 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-07 9,0425 9,0375 1242,77 1242,77 11237,747725 11231,533875 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-08 9,0345 9,0295 1245 1245 11247,9525 11241,7275 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-09 9,0365 9,0315 1237,88 1237,88 11186,10262 11179,91322 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-10 9,0655 9,0605 1230,97 1230,97 11159,358535 11153,203685 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-11 9,0795 9,0745 1225,47 1225,47 11126,654865 11120,527515 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-14 9,0695 9,0645 1224,78 1224,78 11108,14221 11102,01831 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-15 9,1035 9,0985 1226,7 1226,7 11167,26345 11161,12995 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-16 9,0975 9,0925 1229,87 1229,87 11188,742325 11182,592975 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-17 9,1045 9,0995 1220,76 1220,76 11114,40942 11108,30562 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-18 9,1035 9,0985 1221,14 1221,14 11116,64799 11110,54229 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-21 9,1265 9,1215 1222,16 1222,16 11154,04324 11147,93244 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-22 9,1265 9,1215 1221,72 1221,72 11150,02758 11143,91898 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-23 9,1165 9,1115 1222 1222 11140,363 11134,253 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-24 9,1135 9,1085 1220,87 1220,87 11126,398745 11120,294395 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-29 9,1315 9,1265 1224,27 1224,27 11179,421505 11173,300155 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-30 9,1425 9,1375 1219,97 1219,97 11153,575725 11147,475875 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-03-31 9,1405 9,1355 1218,46 1218,46 11137,33363 11131,24133 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-01 9,1645 9,1595 1221,03 1221,03 11190,129435 11184,024285 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-04 9,1695 9,1645 1223,35 1223,35 11217,507825 11211,391075 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-05 9,1745 9,1695 1225,06 1225,06 11239,31297 11233,18767 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-06 9,1705 9,1655 1230,07 1230,07 11280,356935 11274,206585 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-07 9,1505 9,1455 1231,97 1231,97 11273,141485 11266,981635 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-08 9,1625 9,1575 1234,5 1234,5 11311,10625 11304,93375 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-11 9,1705 9,1655 1233,36 1233,36 11310,52788 11304,36108 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-12 9,1525 9,1475 1230,74 1230,74 11264,34785 11258,19415 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-13 9,1495 9,1445 1232,93 1232,93 11280,693035 11274,528385 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-14 9,1685 9,1635 1230,83 1230,83 11284,864855 11278,710705 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-15 9,1925 9,1875 1224,47 1224,47 11255,940475 11249,818125 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-18 9,1805 9,1755 1210,39 1210,39 11111,985395 11105,933445 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-19 9,2035 9,1985 1199,99 1199,99 11044,107965 11038,108015 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-20 9,1915 9,1865 1204,68 1204,68 11072,81622 11066,79282 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-21 9,1855 9,1805 1200,68 1200,68 11028,84614 11022,84274 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-22 9,1625 9,1575 1205,95 1205,95 11049,516875 11043,487125 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-25 9,1685 9,1635 1207,68 1207,68 11072,61408 11066,57568 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-26 9,1375 9,1325 1215,47 1215,47 11106,357125 11100,279775 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-27 9,1465 9,1415 1212,15 1212,15 11086,929975 11080,869225 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-28 9,1505 9,1455 1207,73 1207,73 11051,333365 11045,294715 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-04-29 9,1705 9,1655 1202,05 1202,05 11023,399525 11017,389275 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-02 9,1935 9,1885 1206,19 1206,19 11089,107765 11083,076815 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-03 9,2245 9,2195 1210,34 1210,34 11164,78133 11158,72963 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-04 9,1915 9,1865 1213,66 1213,66 11155,35589 11149,28759 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-06 9,1715 9,1665 1219,9 1219,9 11188,31285 11182,21335 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-09 9,1815 9,1765 1223,24 1223,24 11231,17806 11225,06186 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-10 9,1985 9,1935 1224,9 1224,9 11267,24265 11261,11815 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-11 9,2105 9,2055 1220,77 1220,77 11243,902085 11237,798235 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-12 9,2315 9,2265 1221,29 1221,29 11274,338635 11268,232185 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-13 9,2045 9,1995 1219,58 1219,58 11225,62411 11219,52621 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-17 9,2325 9,2275 1221,08 1221,08 11273,6211 11267,5157 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-18 9,2095 9,2045 1220,33 1220,33 11238,629135 11232,527485 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-19 9,1905 9,1855 1228,56 1228,56 11291,08068 11284,93788 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-20 9,1955 9,1905 1233,38 1233,38 11341,54579 11335,37889 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-23 9,1805 9,1755 1234,29 1234,29 11331,399345 11325,227895 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-24 9,1815 9,1765 1238,17 1238,17 11368,257855 11362,067005 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-25 9,1785 9,1735 1239,59 1239,59 11377,576815 11371,378865 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-26 9,1945 9,1895 1236,82 1236,82 11371,94149 11365,75739 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-27 9,1955 9,1905 1241,49 1241,49 11416,121295 11409,913845 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-30 9,1905 9,1855 1241,6 1241,6 11410,9248 11404,7168 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-05-31 9,1665 9,1615 1245,22 1245,22 11414,30913 11408,08303 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-01 9,1455 9,1405 1245,72 1245,72 11392,73226 11386,50366 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-02 9,1565 9,1515 1255,38 1255,38 11494,88697 11488,61007 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-03 9,1315 9,1265 1257,83 1257,83 11485,874645 11479,585495 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-07 9,1455 9,1405 1259,06 1259,06 11514,73323 11508,43793 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-08 9,1455 9,1405 1265,89 1265,89 11577,196995 11570,867545 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-09 9,1965 9,1915 1263,89 1263,89 11623,364385 11617,044935 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-10 9,1975 9,1925 1267,06 1267,06 11653,78435 11647,44905 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-13 9,2365 9,2315 1269,94 1269,94 11729,80081 11723,45111 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-14 9,2985 9,2935 1273,17 1273,17 11838,571245 11832,205395 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-15 9,2695 9,2645 1273,77 1273,77 11807,211015 11800,842165 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-16 9,2695 9,2645 1271,9 1271,9 11789,87705 11783,51755 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-17 9,2695 9,2645 1274,97 1274,97 11818,334415 11811,959565 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-20 9,2255 9,2205 1276,44 1276,44 11775,79722 11769,41502 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-21 9,2725 9,2675 1275,92 1275,92 11830,9682 11824,5886 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-22 9,2615 9,2565 1278,19 1278,19 11837,956685 11831,565735 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-27 9,3855 9,3805 1273,82 1273,82 11955,43761 11949,06851 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-28 9,3995 9,3945 1269,23 1269,23 11930,127385 11923,781235 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-29 9,4215 9,4165 1275,71 1275,71 12019,101765 12012,723215 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-06-30 9,4415 9,4365 1275,11 1275,11 12038,951065 12032,575515 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-01 9,4595 9,4545 1275,11 1275,11 12061,903045 12055,527495 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-04 9,4795 9,4745 1281,61 1281,61 12149,021995 12142,613945 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-05 9,4575 9,4525 1285,44 1285,44 12157,0488 12150,6216 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-06 9,4195 9,4145 1283,7 1283,7 12091,81215 12085,39365 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-07 9,3965 9,3915 1283,62 1283,62 12061,53533 12055,11723 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-08 9,4175 9,4125 1277,96 1277,96 12035,1883 12028,7985 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-11 9,4665 9,4615 1287,31 1287,31 12186,320115 12179,883565 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-12 9,4645 9,4595 1288,34 1288,34 12193,49393 12187,05223 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-13 9,3915 9,3865 1285,78 1285,78 12075,40287 12068,97397 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-14 9,3675 9,3625 1290,47 1290,47 12088,477725 12082,025375 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-15 9,4055 9,4005 1292,6 1292,6 12157,5493 12151,0863 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-18 9,3895 9,3845 1294,34 1294,34 12153,20543 12146,73373 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-19 9,4425 9,4375 1291,47 1291,47 12194,705475 12188,248125 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-20 9,4265 9,4215 1296,36 1296,36 12220,13754 12213,65574 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-21 9,4625 9,4575 1298,35 1298,35 12285,636875 12279,145125 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-22 9,4495 9,4445 1295,39 1295,39 12240,787805 12234,310855 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-25 9,4275 9,4225 1298,77 1298,77 12244,154175 12237,660325 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-26 9,4155 9,4105 1300,94 1300,94 12249,00057 12242,49587 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-27 9,4725 9,4675 1300,76 1300,76 12321,4491 12314,9453 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-28 9,4515 9,4465 1304,56 1304,56 12330,04884 12323,52604 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-07-29 9,3885 9,3835 1308,66 1308,66 12286,35441 12279,81111 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-01 9,3985 9,3935 1306,73 1306,73 12281,301905 12274,768255 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-02 9,3995 9,3945 1306,5 1306,5 12280,44675 12273,91425 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-03 9,3755 9,3705 1312,82 1312,82 12308,34391 12301,77981 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-04 9,3735 9,3685 1313,77 1313,77 12314,623095 12308,054245 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-05 9,3355 9,3305 1307,48 1307,48 12205,97954 12199,44214 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-08 9,3335 9,3285 1301,4 1301,4 12146,6169 12140,1099 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-09 9,3455 9,3405 1301,38 1301,38 12162,04679 12155,53989 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-10 9,3535 9,3485 1306,59 1306,59 12221,189565 12214,656615 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-11 9,3365 9,3315 1310,44 1310,44 12234,92306 12228,37086 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-12 9,3025 9,2975 1312,76 1312,76 12211,9499 12205,3861 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-16 9,2995 9,2945 1312,02 1312,02 12201,12999 12194,56989 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-17 9,3405 9,3355 1310,28 1310,28 12238,67034 12232,11894 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-18 9,3365 9,3315 1307,38 1307,38 12206,35337 12199,81647 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-19 9,3395 9,3345 1307,47 1307,47 12211,116065 12204,578715 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-22 9,3655 9,3605 1310,45 1310,45 12273,019475 12266,467225 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-23 9,3715 9,3665 1311,66 1311,66 12292,22169 12285,66339 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-24 9,3365 9,3315 1310,48 1310,48 12235,29652 12228,74412 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-25 9,3335 9,3285 1306,52 1306,52 12194,40442 12187,87182 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-26 9,3415 9,3365 1301,1 1301,1 12154,22565 12147,72015 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-29 9,3295 9,3245 1296,85 1296,85 12098,962075 12092,477825 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-30 9,3285 9,3235 1298,13 1298,13 12109,605705 12103,115055 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-08-31 9,3585 9,3535 1299,89 1299,89 12165,020565 12158,521115 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-01 9,3365 9,3315 1307,72 1307,72 12209,52778 12202,98918 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-02 9,3025 9,2975 1311,13 1311,13 12196,786825 12190,231175 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-05 9,2845 9,2795 1311,01 1311,01 12172,072345 12165,517295 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-06 9,3225 9,3175 1313,78 1313,78 12247,71405 12241,14515 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-07 9,3075 9,3025 1320,87 1320,87 12293,997525 12287,393175 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-08 9,3255 9,3205 1323,48 1323,48 12342,11274 12335,49534 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-09 9,3445 9,3395 1321,28 1321,28 12346,70096 12340,09456 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-12 9,3015 9,2965 1328,38 1328,38 12355,92657 12349,28467 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-13 9,3015 9,2965 1333,52 1333,52 12403,73628 12397,06868 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-14 9,3365 9,3315 1326,49 1326,49 12384,773885 12378,141435 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-15 9,3425 9,3375 1327,78 1327,78 12404,78465 12398,14575 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-16 9,3465 9,3415 1332,46 1332,46 12453,83739 12447,17509 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-19 9,3355 9,3305 1334,36 1334,36 12456,91778 12450,24598 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-20 9,3395 9,3345 1335,09 1335,09 12469,073055 12462,397605 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-21 9,3405 9,3355 1332,39 1332,39 12445,188795 12438,526845 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-22 9,3405 9,3355 1322,22 1322,22 12350,19591 12343,58481 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-23 9,3695 9,3645 1326,31 1326,31 12426,861545 12420,229995 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-26 9,3815 9,3765 1328,76 1328,76 12465,76194 12459,11814 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-27 9,3885 9,3835 1334,35 1334,35 12527,544975 12520,873225 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-28 9,3935 9,3885 1334,63 1334,63 12536,846905 12530,173755 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-29 9,3845 9,3795 1338,96 1338,96 12565,47012 12558,77532 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-09-30 9,3435 9,3385 1341,1 1341,1 12530,56785 12523,86235 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-03 9,3025 9,2975 1343,83 1343,83 12500,978575 12494,259425 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-04 9,3185 9,3135 1350,45 1350,45 12584,168325 12577,416075 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-05 9,3105 9,3055 1348,36 1348,36 12553,90578 12547,16398 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-06 9,3015 9,2965 1336,4 1336,4 12430,5246 12423,8426 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-07 9,3385 9,3335 1319,95 1319,95 12326,353075 12319,753325 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-10 9,3465 9,3415 1316,15 1316,15 12301,395975 12294,815225 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-11 9,3395 9,3345 1317,57 1317,57 12305,445015 12298,857165 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-12 9,3375 9,3325 1322,39 1322,39 12347,816625 12341,204675 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-13 9,3815 9,3765 1315,24 1315,24 12338,92406 12332,34786 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-14 9,4135 9,4085 1307,31 1307,31 12306,362685 12299,826135 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-17 9,4575 9,4525 1306,27 1306,27 12354,048525 12347,517175 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-18 9,4625 9,4575 1307,64 1307,64 12373,5435 12367,0053 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-19 9,4605 9,4555 1305,69 1305,69 12352,480245 12345,951795 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-20 9,4935 9,4885 1296,82 1296,82 12311,36067 12304,87657 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-21 9,4915 9,4865 1297,19 1297,19 12312,278885 12305,792935 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-24 9,5455 9,5405 1293,82 1293,82 12350,15881 12343,68971 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-25 9,5465 9,5415 1304,41 1304,41 12452,550065 12446,028015 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-26 9,4975 9,4925 1300,78 1300,78 12354,15805 12347,65415 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-27 9,5355 9,5305 1304,11 1304,11 12435,340905 12428,820355 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-28 9,5135 9,5085 1293,61 1293,61 12306,758735 12300,290685 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-10-31 9,5495 9,5445 1297,33 1297,33 12388,852835 12382,366185 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-02 9,5855 9,5805 1316,21 1316,21 12616,530955 12609,949905 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-03 9,6515 9,6465 1325,41 1325,41 12792,194615 12785,567565 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-04 9,5875 9,5825 1335,19 1335,19 12801,134125 12794,458175 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-07 9,6075 9,6025 1339,93 1339,93 12873,377475 12866,677825 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-08 9,5685 9,5635 1344,51 1344,51 12864,943935 12858,221385 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-09 9,5575 9,5525 1343,34 1343,34 12838,97205 12832,25535 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-10 9,6105 9,6055 1342,83 1342,83 12905,267715 12898,553565 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-11 9,6365 9,6315 1344,71 1344,71 12958,297915 12951,574365 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-14 9,5505 9,5455 1350,83 1350,83 12901,101915 12894,347765 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-15 9,5805 9,5755 1352,79 1352,79 12960,404595 12953,640645 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-16 9,6235 9,6185 1350,59 1350,59 12997,402865 12990,649915 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-17 9,6355 9,6305 1348,24 1348,24 12990,96652 12984,22532 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-18 9,6085 9,6035 1351,84 1351,84 12989,15464 12982,39544 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-21 9,5915 9,5865 1357,01 1357,01 13015,761415 13008,976365 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-22 9,5585 9,5535 1358,95 1358,95 12989,523575 12982,728825 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-23 9,5155 9,5105 1361 1361 12950,5955 12943,7905 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-24 9,5125 9,5075 1362,67 1362,67 12962,398375 12955,585025 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-25 9,4965 9,4915 1364,38 1364,38 12956,83467 12950,01277 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-28 9,4835 9,4785 1367,66 1367,66 12970,20361 12963,36531 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-29 9,4785 9,4735 1362,56 1362,56 12915,02496 12908,21216 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-11-30 9,5295 9,5245 1363,3 1363,3 12991,56735 12984,75085 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-01 9,5165 9,5115 1359,14 1359,14 12934,25581 12927,46011 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-02 9,4905 9,4855 1371,31 1371,31 13014,417555 13007,561005 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-05 9,4065 9,4015 1379,57 1379,57 12976,925205 12970,027355 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-06 9,4185 9,4135 1376,69 1376,69 12966,354765 12959,471315 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-07 9,4255 9,4205 1377,39 1377,39 12982,589445 12975,702495 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-08 9,3965 9,3915 1378,07 1378,07 12949,034755 12942,144405 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-12 9,4315 9,4265 1372,25 1372,25 12942,375875 12935,514625 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-13 9,4295 9,4245 1373,62 1373,62 12952,54979 12945,68169 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-14 9,4365 9,4315 1377,01 1377,01 12994,154865 12987,269815 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-15 9,4345 9,4295 1378,05 1378,05 13001,212725 12994,322475 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-16 9,4765 9,4715 1380,47 1380,47 13082,023955 13075,121605 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-19 9,4535 9,4485 1382,63 1382,63 13070,692705 13063,779555 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-20 9,4015 9,3965 1380,45 1380,45 12978,300675 12971,398425 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-21 9,4485 9,4435 1383,09 1383,09 13068,125865 13061,210415 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-22 9,4365 9,4315 1387,05 1387,05 13088,897325 13081,962075 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-23 9,4425 9,4375 1388,74 1388,74 13113,17745 13106,23375 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-27 9,4915 9,4865 1389,77 1389,77 13191,001955 13184,053105 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-28 9,4345 9,4295 1389,19 1389,19 13106,313055 13099,367105 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-29 9,4115 9,4065 1389,2 1389,2 13074,4558 13067,5098 408484 Banque de Luxembourg S.A. BL - Global 75 EUR 2005-12-30 9,4325 9,4275 1393,43 1393,43 13143,528475 13136,561325 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-03 9,0065 9,0015 472,08 472,08 4251,78852 4249,42812 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-04 9,0345 9,0295 473 473 4273,3185 4270,9535 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-05 9,0615 9,0565 472,91 472,91 4285,273965 4282,909415 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-07 9,0615 9,0565 473,48 473,48 4290,43902 4288,07162 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-10 9,08619 9,08119 474,25 474,25 4309,1256075 4306,7543575 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-11 9,08619 9,08119 474,57 474,57 4312,0331883 4309,6603383 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-12 9,0455 9,0405 474,5 474,5 4292,08975 4289,71725 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-13 9,0505 9,0455 474,37 474,37 4293,285685 4290,913835 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-14 9,0455 9,0405 475,25 475,25 4298,873875 4296,497625 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-17 9,0685 9,0635 475,88 475,88 4315,51778 4313,13838 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-18 9,0585 9,0535 476,15 476,15 4313,204775 4310,824025 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-19 9,0225 9,0175 476,23 476,23 4296,785175 4294,404025 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-20 9,0315 9,0265 476,89 476,89 4307,032035 4304,647585 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-21 9,0505 9,0455 475,77 475,77 4305,956385 4303,577535 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-24 9,0655 9,0605 475,95 475,95 4314,724725 4312,344975 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-25 9,0715 9,0665 476,6 476,6 4323,4769 4321,0939 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-26 9,0885 9,0835 476,7 476,7 4332,48795 4330,10445 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-27 9,0675 9,0625 476,38 476,38 4319,57565 4317,19375 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-28 9,0955 9,0905 475,77 475,77 4327,366035 4324,987185 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-01-31 9,1075 9,1025 476,68 476,68 4341,3631 4338,9797 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-01 9,1035 9,0985 476,93 476,93 4341,732255 4339,347605 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-02 9,0905 9,0855 477,25 477,25 4338,441125 4336,054875 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-03 9,0695 9,0645 477,09 477,09 4326,967755 4324,582305 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-04 9,0895 9,0845 476,76 476,76 4333,51002 4331,12622 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-07 9,0755 9,0705 478,07 478,07 4338,724285 4336,333935 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-08 9,0895 9,0845 478,81 478,81 4352,143495 4349,749445 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-09 9,0695 9,0645 479,24 479,24 4346,46718 4344,07098 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-10 9,0805 9,0755 479,86 479,86 4357,36873 4354,96943 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-11 9,0935 9,0885 479,86 479,86 4363,60691 4361,20761 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-14 9,1105 9,1055 479,44 479,44 4367,93812 4365,54092 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-15 9,0765 9,0715 478,71 478,71 4345,011315 4342,617765 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-16 9,0705 9,0655 478,19 478,19 4337,422395 4335,031445 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-17 9,0925 9,0875 477,5 477,5 4341,66875 4339,28125 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-18 9,0945 9,0895 476,79 476,79 4336,166655 4333,782705 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-21 9,1185 9,1135 475,04 475,04 4331,65224 4329,27704 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-22 9,0975 9,0925 474,13 474,13 4313,397675 4311,027025 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-23 9,1045 9,0995 474,19 474,19 4317,262855 4314,891905 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-24 9,0715 9,0665 473,96 473,96 4299,52814 4297,15834 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-25 9,0845 9,0795 473,53 473,53 4301,783285 4299,415635 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-02-28 9,0505 9,0455 473,92 473,92 4289,21296 4286,84336 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-01 9,0565 9,0515 474,09 474,09 4293,596085 4291,225635 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-02 9,0645 9,0595 473,56 473,56 4292,58462 4290,21682 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-03 9,0675 9,0625 472,71 472,71 4286,297925 4283,934375 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-04 9,0415 9,0365 472,92 472,92 4275,90618 4273,54158 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-07 9,0425 9,0375 474,42 474,42 4289,94285 4287,57075 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-08 9,0345 9,0295 475,47 475,47 4295,633715 4293,256365 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-09 9,0365 9,0315 474,75 474,75 4290,078375 4287,704625 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-10 9,0655 9,0605 473,66 473,66 4293,96473 4291,59643 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-11 9,0795 9,0745 472,99 472,99 4294,512705 4292,147755 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-14 9,0695 9,0645 473,16 473,16 4291,32462 4288,95882 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-15 9,1035 9,0985 472,99 472,99 4305,864465 4303,499515 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-16 9,0975 9,0925 474,04 474,04 4312,5789 4310,2087 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-17 9,1045 9,0995 474,46 474,46 4319,72107 4317,34877 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-18 9,1035 9,0985 474,36 474,36 4318,33626 4315,96446 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-21 9,1265 9,1215 473,96 473,96 4325,59594 4323,22614 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-22 9,1265 9,1215 473,44 473,44 4320,85016 4318,48296 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-23 9,1165 9,1115 474,05 474,05 4321,676825 4319,306575 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-24 9,1135 9,1085 473,09 473,09 4311,505715 4309,140265 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-29 9,1315 9,1265 473,53 473,53 4324,039195 4321,671545 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-30 9,1425 9,1375 473,51 473,51 4329,065175 4326,697625 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-03-31 9,1405 9,1355 474,1 474,1 4333,51105 4331,14055 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-01 9,1645 9,1595 475,46 475,46 4357,35317 4354,97587 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-04 9,1695 9,1645 475,95 475,95 4364,223525 4361,843775 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-05 9,1745 9,1695 476,65 476,65 4373,025425 4370,642175 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-06 9,1705 9,1655 476,22 476,22 4367,17551 4364,79441 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-07 9,1505 9,1455 476,27 476,27 4358,108635 4355,727285 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-08 9,1625 9,1575 477,24 477,24 4372,7115 4370,3253 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-11 9,1705 9,1655 476,65 476,65 4371,118825 4368,735575 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-12 9,1525 9,1475 477,17 477,17 4367,298425 4364,912575 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-13 9,1495 9,1445 477,62 477,62 4369,98419 4367,59609 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-14 9,1685 9,1635 478,18 478,18 4384,19333 4381,80243 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-15 9,1925 9,1875 477,95 477,95 4393,555375 4391,165625 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-18 9,1805 9,1755 478,6 478,6 4393,7873 4391,3943 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-19 9,2035 9,1985 479,22 479,22 4410,50127 4408,10517 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-20 9,1915 9,1865 479,76 479,76 4409,71404 4407,31524 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-21 9,1855 9,1805 479,7 479,7 4406,28435 4403,88585 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-22 9,1625 9,1575 479,35 479,35 4392,044375 4389,647625 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-25 9,1685 9,1635 479,98 479,98 4400,69663 4398,29673 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-26 9,1375 9,1325 480,49 480,49 4390,477375 4388,074925 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-27 9,1465 9,1415 480,57 480,57 4395,533505 4393,130655 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-28 9,1505 9,1455 481,35 481,35 4404,593175 4402,186425 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-04-29 9,1705 9,1655 481,63 481,63 4416,787915 4414,379765 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-02 9,1935 9,1885 481,77 481,77 4429,152495 4426,743645 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-03 9,2245 9,2195 481,83 481,83 4444,640835 4442,231685 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-04 9,1915 9,1865 482,35 482,35 4433,520025 4431,108275 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-06 9,1715 9,1665 481,83 481,83 4419,103845 4416,694695 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-09 9,1815 9,1765 481,36 481,36 4419,60684 4417,20004 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-10 9,1985 9,1935 482 482 4433,677 4431,267 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-11 9,2105 9,2055 483,32 483,32 4451,61886 4449,20226 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-12 9,2315 9,2265 484 484 4468,046 4465,626 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-13 9,2045 9,1995 483,82 483,82 4453,32119 4450,90209 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-17 9,2325 9,2275 484,27 484,27 4471,022775 4468,601425 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-18 9,2095 9,2045 484,29 484,29 4460,068755 4457,647305 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-19 9,1905 9,1855 484,73 484,73 4454,911065 4452,487415 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-20 9,1955 9,1905 484,51 484,51 4455,311705 4452,889155 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-23 9,1805 9,1755 484,1 484,1 4444,28005 4441,85955 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-24 9,1815 9,1765 484,78 484,78 4451,00757 4448,58367 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-25 9,1785 9,1735 485,54 485,54 4456,52889 4454,10119 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-26 9,1945 9,1895 485,68 485,68 4465,58476 4463,15636 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-27 9,1955 9,1905 485,26 485,26 4462,20833 4459,78203 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-30 9,1905 9,1855 484,97 484,97 4457,116785 4454,691935 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-05-31 9,1665 9,1615 485,11 485,11 4446,760815 4444,335265 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-01 9,1455 9,1405 486,54 486,54 4449,65157 4447,21887 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-02 9,1565 9,1515 487,24 487,24 4461,41306 4458,97686 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-03 9,1315 9,1265 487,26 487,26 4449,41469 4446,97839 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-07 9,1455 9,1405 487,75 487,75 4460,717625 4458,278875 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-08 9,1455 9,1405 489,24 489,24 4474,34442 4471,89822 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-09 9,1965 9,1915 490,07 490,07 4506,928755 4504,478405 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-10 9,1975 9,1925 489,98 489,98 4506,59105 4504,14115 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-13 9,2365 9,2315 489,73 489,73 4523,391145 4520,942495 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-14 9,2985 9,2935 488,87 488,87 4545,757695 4543,313345 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-15 9,2695 9,2645 488,48 488,48 4527,96536 4525,52296 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-16 9,2695 9,2645 486,25 486,25 4507,294375 4504,863125 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-17 9,2695 9,2645 486,05 486,05 4505,440475 4503,010225 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-20 9,2255 9,2205 486,69 486,69 4489,958595 4487,525145 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-21 9,2725 9,2675 486,79 486,79 4513,760275 4511,326325 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-22 9,2615 9,2565 488,81 488,81 4527,113815 4524,669765 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-27 9,3855 9,3805 491,23 491,23 4610,439165 4607,983015 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-28 9,3995 9,3945 491,79 491,79 4622,580105 4620,121155 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-29 9,4215 9,4165 490,7 490,7 4623,13005 4620,67655 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-06-30 9,4415 9,4365 490,43 490,43 4630,394845 4627,942695 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-01 9,4595 9,4545 491,53 491,53 4649,628035 4647,170385 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-04 9,4795 9,4745 491,8 491,8 4662,0181 4659,5591 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-05 9,4575 9,4525 491,28 491,28 4646,2806 4643,8242 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-06 9,4195 9,4145 490,22 490,22 4617,62729 4615,17619 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-07 9,3965 9,3915 489,86 489,86 4602,96949 4600,52019 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-08 9,4175 9,4125 490,68 490,68 4620,9789 4618,5255 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-11 9,4665 9,4615 490,88 490,88 4646,91552 4644,46112 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-12 9,4645 9,4595 489,7 489,7 4634,76565 4632,31715 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-13 9,3915 9,3865 489,92 489,92 4601,08368 4598,63408 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-14 9,3675 9,3625 489,72 489,72 4587,4521 4585,0035 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-15 9,4055 9,4005 488,91 488,91 4598,443005 4595,998455 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-18 9,3895 9,3845 489,27 489,27 4594,000665 4591,554315 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-19 9,4425 9,4375 489,95 489,95 4626,352875 4623,903125 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-20 9,4265 9,4215 489,48 489,48 4614,08322 4611,63582 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-21 9,4625 9,4575 489,04 489,04 4627,541 4625,0958 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-22 9,4495 9,4445 489,06 489,06 4621,37247 4618,92717 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-25 9,4275 9,4225 490,53 490,53 4624,471575 4622,018925 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-26 9,4155 9,4105 490,9 490,9 4622,06895 4619,61445 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-27 9,4725 9,4675 490,16 490,16 4643,0406 4640,5898 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-28 9,4515 9,4465 490,69 490,69 4637,756535 4635,303085 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-07-29 9,3885 9,3835 490,55 490,55 4605,528675 4603,075925 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-01 9,3985 9,3935 490,66 490,66 4611,46801 4609,01471 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-02 9,3995 9,3945 489,49 489,49 4600,961255 4598,513805 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-03 9,3755 9,3705 488,92 488,92 4583,86946 4581,42486 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-04 9,3735 9,3685 489,02 489,02 4583,82897 4581,38387 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-05 9,3355 9,3305 488,96 488,96 4564,68608 4562,24128 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-08 9,3335 9,3285 487,97 487,97 4554,467995 4552,028145 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-09 9,3455 9,3405 488,04 488,04 4560,97782 4558,53762 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-10 9,3535 9,3485 487,88 487,88 4563,38558 4560,94618 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-11 9,3365 9,3315 488,58 488,58 4561,62717 4559,18427 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-12 9,3025 9,2975 488,8 488,8 4547,062 4544,618 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-16 9,2995 9,2945 490,37 490,37 4560,195815 4557,743965 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-17 9,3405 9,3355 491,42 491,42 4590,10851 4587,65141 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-18 9,3365 9,3315 491,4 491,4 4587,9561 4585,4991 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-19 9,3395 9,3345 492,15 492,15 4596,434925 4593,974175 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-22 9,3655 9,3605 492,08 492,08 4608,57524 4606,11484 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-23 9,3715 9,3665 492,22 492,22 4612,83973 4610,37863 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-24 9,3365 9,3315 492,52 492,52 4598,41298 4595,95038 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-25 9,3335 9,3285 492,32 492,32 4595,06872 4592,60712 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-26 9,3415 9,3365 492,61 492,61 4601,716315 4599,253265 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-29 9,3295 9,3245 492,66 492,66 4596,27147 4593,80817 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-30 9,3285 9,3235 492,76 492,76 4596,71166 4594,24786 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-08-31 9,3585 9,3535 492,88 492,88 4612,61748 4610,15308 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-01 9,3365 9,3315 494,05 494,05 4612,697825 4610,227575 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-02 9,3025 9,2975 495,25 495,25 4607,063125 4604,586875 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-05 9,2845 9,2795 495,84 495,84 4603,62648 4601,14728 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-06 9,3225 9,3175 496,5 496,5 4628,62125 4626,13875 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-07 9,3075 9,3025 495,71 495,71 4613,820825 4611,342275 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-08 9,3255 9,3205 495,28 495,28 4618,73364 4616,25724 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-09 9,3445 9,3395 496,01 496,01 4634,965445 4632,485395 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-12 9,3015 9,2965 496,7 496,7 4620,05505 4617,57155 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-13 9,3015 9,2965 495,09 495,09 4605,079635 4602,604185 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-14 9,3365 9,3315 495,77 495,77 4628,756605 4626,277755 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-15 9,3425 9,3375 495,66 495,66 4630,70355 4628,22525 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-16 9,3465 9,3415 495,42 495,42 4630,44303 4627,96593 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-19 9,3355 9,3305 495,41 495,41 4624,900055 4622,423005 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-20 9,3395 9,3345 496,52 496,52 4637,24854 4634,76594 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-21 9,3405 9,3355 497,21 497,21 4644,190005 4641,703955 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-22 9,3405 9,3355 498,43 498,43 4655,585415 4653,093265 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-23 9,3695 9,3645 498,98 498,98 4675,19311 4672,69821 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-26 9,3815 9,3765 498,09 498,09 4672,831335 4670,340885 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-27 9,3885 9,3835 496,41 496,41 4660,545285 4658,063235 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-28 9,3935 9,3885 496,38 496,38 4662,74553 4660,26363 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-29 9,3845 9,3795 496,41 496,41 4658,559645 4656,077595 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-09-30 9,3435 9,3385 496,71 496,71 4641,009885 4638,526335 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-03 9,3025 9,2975 497,3 497,3 4626,13325 4623,64675 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-04 9,3185 9,3135 496,6 496,6 4627,5671 4625,0841 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-05 9,3105 9,3055 496,9 496,9 4626,38745 4623,90295 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-06 9,3015 9,2965 496,79 496,79 4620,892185 4618,408235 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-07 9,3385 9,3335 495,6 495,6 4628,1606 4625,6826 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-10 9,3465 9,3415 495,4 495,4 4630,2561 4627,7791 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-11 9,3395 9,3345 496,22 496,22 4634,44669 4631,96559 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-12 9,3375 9,3325 495,67 495,67 4628,318625 4625,840275 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-13 9,3815 9,3765 494,26 494,26 4636,90019 4634,42889 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-14 9,4135 9,4085 492,83 492,83 4639,255205 4636,791055 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-17 9,4575 9,4525 492,6 492,6 4658,7645 4656,3015 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-18 9,4625 9,4575 493,11 493,11 4666,053375 4663,587825 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-19 9,4605 9,4555 493,58 493,58 4669,51359 4667,04569 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-20 9,4935 9,4885 493,92 493,92 4689,02952 4686,55992 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-21 9,4915 9,4865 493,36 493,36 4682,72644 4680,25964 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-24 9,5455 9,5405 494,44 494,44 4719,67702 4717,20482 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-25 9,5465 9,5415 494,6 494,6 4721,6989 4719,2259 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-26 9,4975 9,4925 492,73 492,73 4679,703175 4677,239525 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-27 9,5355 9,5305 491,31 491,31 4684,886505 4682,429955 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-28 9,5135 9,5085 490,41 490,41 4665,515535 4663,063485 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-10-31 9,5495 9,5445 490,66 490,66 4685,55767 4683,10437 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-02 9,5855 9,5805 491,34 491,34 4709,73957 4707,28287 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-03 9,6515 9,6465 490,58 490,58 4734,83287 4732,37997 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-04 9,5875 9,5825 490,85 490,85 4706,024375 4703,570125 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-07 9,6075 9,6025 490,81 490,81 4715,457075 4713,003025 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-08 9,5685 9,5635 490,52 490,52 4693,54062 4691,08802 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-09 9,5575 9,5525 491,61 491,61 4698,562575 4696,104525 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-10 9,6105 9,6055 490,47 490,47 4713,661935 4711,209585 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-11 9,6365 9,6315 490,56 490,56 4727,28144 4724,82864 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-14 9,5505 9,5455 491,25 491,25 4691,683125 4689,226875 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-15 9,5805 9,5755 490,87 490,87 4702,780035 4700,325685 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-16 9,6235 9,6185 491,87 491,87 4733,510945 4731,051595 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-17 9,6355 9,6305 493,86 493,86 4758,58803 4756,11873 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-18 9,6085 9,6035 493,4 493,4 4740,8339 4738,3669 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-21 9,5915 9,5865 491,42 491,42 4713,45493 4710,99783 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-22 9,5585 9,5535 492,87 492,87 4711,097895 4708,633545 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-23 9,5155 9,5105 493,17 493,17 4692,759135 4690,293285 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-24 9,5125 9,5075 493,99 493,99 4699,079875 4696,609925 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-25 9,4965 9,4915 496 496 4710,264 4707,784 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-28 9,4835 9,4785 496,3 496,3 4706,66105 4704,17955 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-29 9,4785 9,4735 496,24 496,24 4703,61084 4701,12964 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-11-30 9,5295 9,5245 495,22 495,22 4719,19899 4716,72289 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-01 9,5165 9,5115 495,43 495,43 4714,759595 4712,282445 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-02 9,4905 9,4855 497,14 497,14 4718,10717 4715,62147 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-05 9,4065 9,4015 498,46 498,46 4688,76399 4686,27169 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-06 9,4185 9,4135 497,78 497,78 4688,34093 4685,85203 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-07 9,4255 9,4205 499,21 499,21 4705,303855 4702,807805 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-08 9,3965 9,3915 498,61 498,61 4685,188865 4682,695815 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-12 9,4315 9,4265 496,96 496,96 4687,07824 4684,59344 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-13 9,4295 9,4245 497,16 497,16 4687,97022 4685,48442 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-14 9,4365 9,4315 497,78 497,78 4697,30097 4694,81207 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-15 9,4345 9,4295 498,11 498,11 4699,418795 4696,928245 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-16 9,4765 9,4715 497,7 497,7 4716,45405 4713,96555 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-19 9,4535 9,4485 498,16 498,16 4709,35556 4706,86476 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-20 9,4015 9,3965 498,61 498,61 4687,681915 4685,188865 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-21 9,4485 9,4435 499,01 499,01 4714,895985 4712,400935 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-22 9,4365 9,4315 498,38 498,38 4702,96287 4700,47097 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-23 9,4425 9,4375 498,75 498,75 4709,446875 4706,953125 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-27 9,4915 9,4865 499,67 499,67 4742,617805 4740,119455 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-28 9,4345 9,4295 499,7 499,7 4714,41965 4711,92115 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-29 9,4115 9,4065 500,3 500,3 4708,57345 4706,07195 515973 Banque de Luxembourg S.A. BL - Global Bond EUR 2005-12-30 9,4325 9,4275 500,32 500,32 4719,2684 4716,7668 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-03 6,668 6,658 466,24 466,24 3108,88832 3104,22592 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-04 6,728 6,718 466,22 466,22 3136,72816 3132,06596 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-05 6,828 6,818 466,25 466,25 3183,555 3178,8925 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-07 6,87 6,86 466,35 466,35 3203,8245 3199,161 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-10 6,96091 6,95091 466,46 466,46 3246,9860786 3242,3214786 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-11 6,96091 6,95091 466,53 466,53 3247,4733423 3242,8080423 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-12 6,913 6,903 466,55 466,55 3225,26015 3220,59465 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-13 6,843 6,833 466,58 466,58 3192,80694 3188,14114 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-14 6,915 6,905 466,62 466,62 3226,6773 3222,0111 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-17 6,915 6,905 466,7 466,7 3227,2305 3222,5635 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-18 6,968 6,958 466,74 466,74 3252,24432 3247,57692 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-19 6,91 6,9 466,95 466,95 3226,6245 3221,955 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-20 6,96 6,95 466,99 466,99 3250,2504 3245,5805 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-21 6,978 6,968 466,95 466,95 3258,3771 3253,7076 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-24 6,933 6,923 466,89 466,89 3236,94837 3232,27947 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-25 6,95 6,94 466,93 466,93 3245,1635 3240,4942 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-26 6,995 6,985 466,95 466,95 3266,31525 3261,64575 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-27 6,93 6,92 467,05 467,05 3236,6565 3231,986 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-28 6,985 6,975 467,08 467,08 3262,5538 3257,883 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-01-31 6,998 6,988 467,17 467,17 3269,25566 3264,58396 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-01 6,993 6,983 467,22 467,22 3267,26946 3262,59726 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-02 6,953 6,943 467,25 467,25 3248,78925 3244,11675 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-03 6,968 6,958 467,29 467,29 3256,07672 3251,40382 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-04 7,01 7 467,28 467,28 3275,6328 3270,96 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-07 7,065 7,055 467,4 467,4 3302,181 3297,507 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-08 7,123 7,113 467,44 467,44 3329,57512 3324,90072 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-09 7,1 7,09 467,42 467,42 3318,682 3314,0078 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-10 7,088 7,078 467,35 467,35 3312,5768 3307,9033 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-11 7,068 7,058 467,4 467,4 3303,5832 3298,9092 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-14 7,03 7,02 467,53 467,53 3286,7359 3282,0606 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-15 7,005 6,995 467,59 467,59 3275,46795 3270,79205 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-16 6,973 6,963 467,62 467,62 3260,71426 3256,03806 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-17 6,97 6,96 467,69 467,69 3259,7993 3255,1224 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-18 6,965 6,955 467,73 467,73 3257,73945 3253,06215 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-21 6,978 6,968 467,63 467,63 3263,12214 3258,44584 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-22 6,905 6,895 467,81 467,81 3230,22805 3225,54995 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-23 6,895 6,885 468,12 468,12 3227,6874 3223,0062 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-24 6,858 6,848 468,04 468,04 3209,81832 3205,13792 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-25 6,885 6,875 467,97 467,97 3221,97345 3217,29375 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-02-28 6,828 6,818 468,03 468,03 3195,70884 3191,02854 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-01 6,87 6,86 468,49 468,49 3218,5263 3213,8414 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-02 6,888 6,878 468,46 468,46 3226,75248 3222,06788 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-03 6,903 6,893 468,45 468,45 3233,71035 3229,02585 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-04 6,9 6,89 468,54 468,54 3232,926 3228,2406 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-07 6,84 6,83 468,56 468,56 3204,9504 3200,2648 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-08 6,825 6,815 468,78 468,78 3199,4235 3194,7357 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-09 6,76 6,75 468,7 468,7 3168,412 3163,725 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-10 6,745 6,735 468,77 468,77 3161,85365 3157,16595 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-11 6,765 6,755 468,86 468,86 3171,8379 3167,1493 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-14 6,76 6,75 468,81 468,81 3169,1556 3164,4675 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-15 6,815 6,805 469,05 469,05 3196,57575 3191,88525 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-16 6,81 6,8 468,94 468,94 3193,4814 3188,792 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-17 6,795 6,785 469,03 469,03 3187,05885 3182,36855 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-18 6,828 6,818 469,01 469,01 3202,40028 3197,71018 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-21 6,908 6,898 468,98 468,98 3239,71384 3235,02404 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-22 6,928 6,918 469,21 469,21 3250,68688 3245,99478 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-23 6,973 6,963 469,28 469,28 3272,28944 3267,59664 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-24 7,008 6,998 469,36 469,36 3289,27488 3284,58128 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-29 7,055 7,045 469,28 469,28 3310,7704 3306,0776 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-30 7,053 7,043 469,26 469,26 3309,69078 3304,99818 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-03-31 7,065 7,055 469,41 469,41 3316,38165 3311,68755 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-01 7,07 7,06 469,46 469,46 3319,0822 3314,3876 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-04 7,113 7,103 469,31 469,31 3338,20203 3333,50893 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-05 7,163 7,153 469,29 469,29 3361,52427 3356,83137 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-06 7,125 7,115 469,37 469,37 3344,26125 3339,56755 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-07 7,083 7,073 469,41 469,41 3324,83103 3320,13693 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-08 7,153 7,143 469,46 469,46 3358,04738 3353,35278 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-11 7,098 7,088 469,45 469,45 3332,1561 3327,4616 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-12 7,048 7,038 469,56 469,56 3309,45888 3304,76328 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-13 7,075 7,065 469,56 469,56 3322,137 3317,4414 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-14 7,12 7,11 469,56 469,56 3343,2672 3338,5716 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-15 7,17 7,16 469,5 469,5 3366,315 3361,62 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-18 7,08 7,07 469,55 469,55 3324,414 3319,7185 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-19 7,068 7,058 469,59 469,59 3319,06212 3314,36622 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-20 7,043 7,033 469,55 469,55 3307,04065 3302,34515 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-21 7,025 7,015 469,6 469,6 3298,94 3294,244 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-22 7,023 7,013 469,65 469,65 3298,35195 3293,65545 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-25 7,04 7,03 469,75 469,75 3307,04 3302,3425 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-26 7,035 7,025 469,82 469,82 3305,1837 3300,4855 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-27 7,085 7,075 469,93 469,93 3329,45405 3324,75475 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-28 7,085 7,075 469,94 469,94 3329,5249 3324,8255 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-04-29 7,08 7,07 469,97 469,97 3327,3876 3322,6879 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-02 7,15 7,14 470,01 470,01 3360,5715 3355,8714 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-03 7,178 7,168 470,04 470,04 3373,94712 3369,24672 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-04 7,11 7,1 470,06 470,06 3342,1266 3337,426 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-06 7,085 7,075 470,17 470,17 3331,15445 3326,45275 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-09 7,168 7,158 470,24 470,24 3370,68032 3365,97792 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-10 7,178 7,168 470,29 470,29 3375,74162 3371,03872 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-11 7,15 7,14 470,37 470,37 3363,1455 3358,4418 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-12 7,243 7,233 470,47 470,47 3407,61421 3402,90951 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-13 7,265 7,255 470,48 470,48 3418,0372 3413,3324 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-17 7,313 7,303 470,64 470,64 3441,79032 3437,08392 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-18 7,3 7,29 470,62 470,62 3435,526 3430,8198 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-19 7,26 7,25 470,57 470,57 3416,3382 3411,6325 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-20 7,28 7,27 470,69 470,69 3426,6232 3421,9163 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-23 7,32 7,31 470,78 470,78 3446,1096 3441,4018 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-24 7,295 7,285 470,75 470,75 3434,12125 3429,41375 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-25 7,298 7,288 470,86 470,86 3436,33628 3431,62768 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-26 7,33 7,32 470,93 470,93 3451,9169 3447,2076 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-27 7,338 7,328 470,97 470,97 3455,97786 3451,26816 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-30 7,338 7,328 471,11 471,11 3457,00518 3452,29408 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-05-31 7,403 7,393 471,11 471,11 3487,62733 3482,91623 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-01 7,428 7,418 471,26 471,26 3500,51928 3495,80668 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-02 7,473 7,463 471,31 471,31 3522,09963 3517,38653 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-03 7,438 7,428 471,37 471,37 3506,05006 3501,33636 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-07 7,448 7,438 471,55 471,55 3512,1044 3507,3889 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-08 7,435 7,425 471,81 471,81 3507,90735 3503,18925 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-09 7,523 7,513 471,87 471,87 3549,87801 3545,15931 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-10 7,525 7,515 471,88 471,88 3550,897 3546,1782 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-13 7,643 7,633 471,84 471,84 3606,27312 3601,55472 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-14 7,663 7,653 471,8 471,8 3615,4034 3610,6854 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-15 7,693 7,683 471,83 471,83 3629,78819 3625,06989 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-16 7,678 7,668 471,84 471,84 3622,78752 3618,06912 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-17 7,643 7,633 471,89 471,89 3606,65527 3601,93637 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-20 7,543 7,533 472,05 472,05 3560,67315 3555,95265 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-21 7,648 7,638 472,04 472,04 3610,16192 3605,44152 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-22 7,608 7,598 472,12 472,12 3591,88896 3587,16776 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-27 7,73 7,72 472,41 472,41 3651,7293 3647,0052 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-28 7,76 7,75 472,48 472,48 3666,4448 3661,72 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-29 7,833 7,823 472,54 472,54 3701,40582 3696,68042 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-06-30 7,823 7,813 472,57 472,57 3696,91511 3692,18941 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-01 7,858 7,848 472,62 472,62 3713,84796 3709,12176 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-04 7,945 7,935 472,78 472,78 3756,2371 3751,5093 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-05 7,963 7,953 472,78 472,78 3764,74714 3760,01934 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-06 7,895 7,885 472,86 472,86 3733,2297 3728,5011 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-07 7,878 7,868 472,87 472,87 3725,26986 3720,54116 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-08 7,913 7,903 472,89 472,89 3741,97857 3737,24967 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-11 7,89 7,88 473,03 473,03 3732,2067 3727,4764 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-12 7,77 7,76 473,1 473,1 3675,987 3671,256 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-13 7,703 7,693 473,18 473,18 3644,90554 3640,17374 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-14 7,76 7,75 473,21 473,21 3672,1096 3667,3775 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-15 7,76 7,75 473,25 473,25 3672,42 3667,6875 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-18 7,78 7,77 473,38 473,38 3682,8964 3678,1626 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-19 7,878 7,868 473,43 473,43 3729,68154 3724,94724 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-20 7,818 7,808 473,52 473,52 3701,97936 3697,24416 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-21 7,775 7,765 473,5 473,5 3681,4625 3676,7275 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-22 7,758 7,748 473,65 473,65 3674,5767 3669,8402 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-25 7,838 7,828 473,79 473,79 3713,56602 3708,82812 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-26 7,818 7,808 473,8 473,8 3704,1684 3699,4304 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-27 7,905 7,895 473,83 473,83 3745,62615 3740,88785 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-28 7,848 7,838 473,85 473,85 3718,7748 3714,0363 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-07-29 7,748 7,738 473,89 473,89 3671,69972 3666,96082 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-01 7,72 7,71 474,06 474,06 3659,7432 3655,0026 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-02 7,7 7,69 474,15 474,15 3650,955 3646,2135 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-03 7,685 7,675 474,22 474,22 3644,3807 3639,6385 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-04 7,618 7,608 474,24 474,24 3612,76032 3608,01792 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-05 7,548 7,538 474,31 474,31 3580,09188 3575,34878 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-08 7,558 7,548 474,45 474,45 3585,8931 3581,1486 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-09 7,548 7,538 474,51 474,51 3581,60148 3576,85638 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-10 7,558 7,548 474,57 474,57 3586,80006 3582,05436 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-11 7,523 7,513 474,67 474,67 3570,94241 3566,19571 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-12 7,46 7,45 474,59 474,59 3540,4414 3535,6955 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-16 7,523 7,513 474,73 474,73 3571,39379 3566,64649 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-17 7,605 7,595 474,78 474,78 3610,7019 3605,9541 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-18 7,61 7,6 474,84 474,84 3613,5324 3608,784 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-19 7,698 7,688 474,89 474,89 3655,70322 3650,95432 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-22 7,69 7,68 475,04 475,04 3653,0576 3648,3072 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-23 7,663 7,653 475,11 475,11 3640,76793 3636,01683 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-24 7,673 7,663 475,18 475,18 3646,05614 3641,30434 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-25 7,588 7,578 475,23 475,23 3606,04524 3601,29294 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-26 7,578 7,568 475,32 475,32 3601,97496 3597,22176 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-29 7,573 7,563 475,39 475,39 3600,12847 3595,37457 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-30 7,633 7,623 475,58 475,58 3630,10214 3625,34634 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-08-31 7,668 7,658 475,7 475,7 3647,6676 3642,9106 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-01 7,568 7,558 475,79 475,79 3600,77872 3596,02082 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-02 7,435 7,425 475,79 475,79 3537,49865 3532,74075 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-05 7,41 7,4 476,01 476,01 3527,2341 3522,474 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-06 7,485 7,475 476,04 476,04 3563,1594 3558,399 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-07 7,43 7,42 476,1 476,1 3537,423 3532,662 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-08 7,498 7,488 476,17 476,17 3570,32266 3565,56096 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-09 7,523 7,513 476,18 476,18 3582,30214 3577,54034 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-12 7,555 7,545 476,29 476,29 3598,37095 3593,60805 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-13 7,57 7,56 476,34 476,34 3605,8938 3601,1304 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-14 7,61 7,6 476,35 476,35 3625,0235 3620,26 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-15 7,658 7,648 476,37 476,37 3648,04146 3643,27776 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-16 7,613 7,603 476,44 476,44 3627,13772 3622,37332 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-19 7,698 7,688 476,6 476,6 3668,8668 3664,1008 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-20 7,688 7,678 476,64 476,64 3664,40832 3659,64192 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-21 7,663 7,653 476,71 476,71 3653,02873 3648,26163 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-22 7,648 7,638 476,71 476,71 3645,87808 3641,11098 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-23 7,733 7,723 476,78 476,78 3686,93974 3682,17194 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-26 7,798 7,788 476,92 476,92 3719,02216 3714,25296 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-27 7,825 7,815 476,97 476,97 3732,29025 3727,52055 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-28 7,81 7,8 477 477 3725,37 3720,6 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-29 7,785 7,775 477,05 477,05 3713,83425 3709,06375 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-09-30 7,785 7,775 477,16 477,16 3714,6906 3709,919 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-03 7,783 7,773 477,21 477,21 3714,12543 3709,35333 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-04 7,82 7,81 477,27 477,27 3732,2514 3727,4787 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-05 7,795 7,785 477,27 477,27 3720,31965 3715,54695 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-06 7,713 7,703 477,28 477,28 3681,26064 3676,48784 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-07 7,683 7,673 477,28 477,28 3666,94224 3662,16944 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-10 7,698 7,688 477,43 477,43 3675,25614 3670,48184 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-11 7,77 7,76 477,49 477,49 3710,0973 3705,3224 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-12 7,805 7,795 477,55 477,55 3727,27775 3722,50225 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-13 7,83 7,82 477,71 477,71 3740,4693 3735,6922 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-14 7,833 7,823 477,64 477,64 3741,35412 3736,57772 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-17 7,835 7,825 477,77 477,77 3743,32795 3738,55025 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-18 7,893 7,883 477,82 477,82 3771,43326 3766,65506 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-19 7,96 7,95 477,87 477,87 3803,8452 3799,0665 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-20 7,93 7,92 477,91 477,91 3789,8263 3785,0472 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-21 7,883 7,873 478,03 478,03 3768,31049 3763,53019 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-24 7,995 7,985 478,13 478,13 3822,64935 3817,86805 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-25 7,99 7,98 478,26 478,26 3821,2974 3816,5148 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-26 7,868 7,858 478,34 478,34 3763,57912 3758,79572 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-27 7,868 7,858 478,38 478,38 3763,89384 3759,11004 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-28 7,825 7,815 478,37 478,37 3743,24525 3738,46155 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-10-31 7,905 7,895 478,52 478,52 3782,7006 3777,9154 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-02 7,98 7,97 478,52 478,52 3818,5896 3813,8044 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-03 8,01 8 478,56 478,56 3833,2656 3828,48 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-04 8,028 8,018 478,55 478,55 3841,7994 3837,0139 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-07 8,135 8,125 478,79 478,79 3894,95665 3890,16875 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-08 8,17 8,16 478,84 478,84 3912,1228 3907,3344 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-09 8,12 8,11 478,84 478,84 3888,1808 3883,3924 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-10 8,173 8,163 478,93 478,93 3914,29489 3909,50559 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-11 8,235 8,225 479,03 479,03 3944,81205 3940,02175 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-14 8,133 8,123 479,18 479,18 3897,17094 3892,37914 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-15 8,185 8,175 479,22 479,22 3922,4157 3917,6235 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-16 8,21 8,2 479,26 479,26 3934,7246 3929,932 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-17 8,258 8,248 479,31 479,31 3958,14198 3953,34888 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-18 8,223 8,213 479,37 479,37 3941,85951 3937,06581 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-21 8,123 8,113 479,51 479,51 3895,05973 3890,26463 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-22 8,15 8,14 479,54 479,54 3908,251 3903,4556 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-23 8,048 8,038 479,6 479,6 3859,8208 3855,0248 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-24 8,053 8,043 479,68 479,68 3862,86304 3858,06624 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-25 8,078 8,068 479,75 479,75 3875,4205 3870,623 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-28 8,118 8,108 480,02 480,02 3896,80236 3892,00216 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-29 8,015 8,005 479,95 479,95 3846,79925 3841,99975 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-11-30 8,088 8,078 479,99 479,99 3882,15912 3877,35922 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-01 8,083 8,073 480,05 480,05 3880,24415 3875,44365 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-02 8,103 8,093 480,14 480,14 3890,57442 3885,77302 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-05 8,045 8,035 480,31 480,31 3864,09395 3859,29085 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-06 7,993 7,983 480,41 480,41 3839,91713 3835,11303 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-07 8,015 8,005 480,46 480,46 3850,8869 3846,0823 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-08 7,988 7,978 480,52 480,52 3838,39376 3833,58856 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-12 7,953 7,943 480,72 480,72 3823,16616 3818,35896 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-13 7,905 7,895 480,8 480,8 3800,724 3795,916 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-14 7,848 7,838 480,82 480,82 3773,47536 3768,66716 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-15 7,858 7,848 480,87 480,87 3778,67646 3773,86776 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-16 7,903 7,893 480,88 480,88 3800,39464 3795,58584 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-19 7,865 7,855 481,05 481,05 3783,45825 3778,64775 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-20 7,848 7,838 481,08 481,08 3775,51584 3770,70504 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-21 7,948 7,938 481,14 481,14 3824,10072 3819,28932 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-22 7,98 7,97 481,22 481,22 3840,1356 3835,3234 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-23 7,955 7,945 481,22 481,22 3828,1051 3823,2929 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-27 8,01 8 481,45 481,45 3856,4145 3851,6 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-28 7,915 7,905 481,51 481,51 3811,15165 3806,33655 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-29 7,938 7,928 481,51 481,51 3822,22638 3817,41128 623462 Banque de Luxembourg S.A. BL - Short Term Dollar USD 2005-12-30 7,958 7,948 481,55 481,55 3832,1749 3827,3594 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-03 9,0065 9,0015 492,6 492,6 4436,6019 4434,1389 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-04 9,0345 9,0295 492,63 492,63 4450,665735 4448,202585 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-05 9,0615 9,0565 492,65 492,65 4464,147975 4461,684725 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-07 9,0615 9,0565 492,76 492,76 4465,14474 4462,68094 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-10 9,08619 9,08119 492,84 492,84 4478,0378796 4475,5736796 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-11 9,08619 9,08119 492,89 492,89 4478,4921891 4476,0277391 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-12 9,0455 9,0405 492,89 492,89 4458,436495 4455,972045 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-13 9,0505 9,0455 492,94 492,94 4461,35347 4458,88877 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-14 9,0455 9,0405 492,95 492,95 4458,979225 4456,514475 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-17 9,0685 9,0635 493,11 493,11 4471,768035 4469,302485 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-18 9,0585 9,0535 493,13 493,13 4467,018105 4464,552455 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-19 9,0225 9,0175 493,18 493,18 4449,71655 4447,25065 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-20 9,0315 9,0265 493,24 493,24 4454,69706 4452,23086 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-21 9,0505 9,0455 493,26 493,26 4464,24963 4461,78333 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-24 9,0655 9,0605 493,4 493,4 4472,9177 4470,4507 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-25 9,0715 9,0665 493,39 493,39 4475,787385 4473,320435 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-26 9,0885 9,0835 493,41 493,41 4484,356785 4481,889735 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-27 9,0675 9,0625 493,45 493,45 4474,357875 4471,890625 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-28 9,0955 9,0905 493,49 493,49 4488,538295 4486,070845 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-01-31 9,1075 9,1025 493,61 493,61 4495,553075 4493,085025 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-01 9,1035 9,0985 493,66 493,66 4494,03381 4491,56551 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-02 9,0905 9,0855 493,7 493,7 4487,97985 4485,51135 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-03 9,0695 9,0645 493,78 493,78 4478,33771 4475,86881 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-04 9,0895 9,0845 493,81 493,81 4488,485995 4486,016945 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-07 9,0755 9,0705 493,92 493,92 4482,57096 4480,10136 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-08 9,0895 9,0845 493,96 493,96 4489,84942 4487,37962 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-09 9,0695 9,0645 494,01 494,01 4480,423695 4477,953645 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-10 9,0805 9,0755 494,01 494,01 4485,857805 4483,387755 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-11 9,0935 9,0885 494,06 494,06 4492,73461 4490,26431 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-14 9,1105 9,1055 494,19 494,19 4502,317995 4499,847045 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-15 9,0765 9,0715 494,2 494,2 4485,6063 4483,1353 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-16 9,0705 9,0655 494,26 494,26 4483,18533 4480,71403 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-17 9,0925 9,0875 494,33 494,33 4494,695525 4492,223875 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-18 9,0945 9,0895 494,36 494,36 4495,95702 4493,48522 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-21 9,1185 9,1135 494,37 494,37 4507,912845 4505,440995 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-22 9,0975 9,0925 494,57 494,57 4499,350575 4496,877725 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-23 9,1045 9,0995 494,63 494,63 4503,358835 4500,885685 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-24 9,0715 9,0665 494,6 494,6 4486,7639 4484,2909 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-25 9,0845 9,0795 494,57 494,57 4492,921165 4490,448315 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-02-28 9,0505 9,0455 494,69 494,69 4477,191845 4474,718395 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-01 9,0565 9,0515 494,85 494,85 4481,609025 4479,134775 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-02 9,0645 9,0595 494,93 494,93 4486,292985 4483,818335 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-03 9,0675 9,0625 495 495 4488,4125 4485,9375 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-04 9,0415 9,0365 495,03 495,03 4475,813745 4473,338595 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-07 9,0425 9,0375 494,96 494,96 4475,6758 4473,201 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-08 9,0345 9,0295 495,17 495,17 4473,613365 4471,137515 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-09 9,0365 9,0315 495,18 495,18 4474,69407 4472,21817 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-10 9,0655 9,0605 495,21 495,21 4489,326255 4486,850205 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-11 9,0795 9,0745 495,21 495,21 4496,259195 4493,783145 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-14 9,0695 9,0645 495,15 495,15 4490,762925 4488,287175 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-15 9,1035 9,0985 495,33 495,33 4509,236655 4506,760005 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-16 9,0975 9,0925 495,25 495,25 4505,536875 4503,060625 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-17 9,1045 9,0995 495,27 495,27 4509,185715 4506,709365 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-18 9,1035 9,0985 495,16 495,16 4507,68906 4505,21326 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-21 9,1265 9,1215 495,34 495,34 4520,72051 4518,24381 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-22 9,1265 9,1215 495,36 495,36 4520,90304 4518,42624 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-23 9,1165 9,1115 495,31 495,31 4515,493615 4513,017065 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-24 9,1135 9,1085 495,34 495,34 4514,28109 4511,80439 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-29 9,1315 9,1265 495,49 495,49 4524,566935 4522,089485 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-30 9,1425 9,1375 495,49 495,49 4530,017325 4527,539875 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-03-31 9,1405 9,1355 495,5 495,5 4529,11775 4526,64025 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-01 9,1645 9,1595 495,51 495,51 4541,101395 4538,623845 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-04 9,1695 9,1645 495,56 495,56 4544,03742 4541,55962 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-05 9,1745 9,1695 495,53 495,53 4546,239985 4543,762335 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-06 9,1705 9,1655 495,55 495,55 4544,441275 4541,963525 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-07 9,1505 9,1455 495,62 495,62 4535,17081 4532,69271 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-08 9,1625 9,1575 495,67 495,67 4541,576375 4539,098025 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-11 9,1705 9,1655 495,77 495,77 4546,458785 4543,979935 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-12 9,1525 9,1475 495,76 495,76 4537,4434 4534,9646 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-13 9,1495 9,1445 495,8 495,8 4536,3221 4533,8431 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-14 9,1685 9,1635 495,77 495,77 4545,467245 4542,988395 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-15 9,1925 9,1875 495,74 495,74 4557,08995 4554,61125 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-18 9,1805 9,1755 495,68 495,68 4550,59024 4548,11184 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-19 9,2035 9,1985 495,54 495,54 4560,70239 4558,22469 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-20 9,1915 9,1865 495,54 495,54 4554,75591 4552,27821 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-21 9,1855 9,1805 495,63 495,63 4552,609365 4550,131215 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-22 9,1625 9,1575 495,74 495,74 4542,21775 4539,73905 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-25 9,1685 9,1635 495,78 495,78 4545,55893 4543,08003 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-26 9,1375 9,1325 495,82 495,82 4530,55525 4528,07615 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-27 9,1465 9,1415 495,84 495,84 4535,20056 4532,72136 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-28 9,1505 9,1455 495,84 495,84 4537,18392 4534,70472 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-04-29 9,1705 9,1655 495,85 495,85 4547,192425 4544,713175 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-02 9,1935 9,1885 495,94 495,94 4559,42439 4556,94469 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-03 9,2245 9,2195 495,96 495,96 4574,98302 4572,50322 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-04 9,1915 9,1865 496 496 4558,984 4556,504 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-06 9,1715 9,1665 496,06 496,06 4549,61429 4547,13399 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-09 9,1815 9,1765 496,08 496,08 4554,75852 4552,27812 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-10 9,1985 9,1935 496,15 496,15 4563,835775 4561,355025 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-11 9,2105 9,2055 496,21 496,21 4570,342205 4567,861155 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-12 9,2315 9,2265 496,15 496,15 4580,208725 4577,727975 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-13 9,2045 9,1995 496,2 496,2 4567,2729 4564,7919 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-17 9,2325 9,2275 496,11 496,11 4580,335575 4577,855025 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-18 9,2095 9,2045 496,09 496,09 4568,740855 4566,260405 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-19 9,1905 9,1855 496,16 496,16 4559,95848 4557,47768 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-20 9,1955 9,1905 496,23 496,23 4563,082965 4560,601815 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-23 9,1805 9,1755 496,36 496,36 4556,83298 4554,35118 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-24 9,1815 9,1765 496,43 496,43 4557,972045 4555,489895 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-25 9,1785 9,1735 496,42 496,42 4556,39097 4553,90887 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-26 9,1945 9,1895 496,52 496,52 4565,25314 4562,77054 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-27 9,1955 9,1905 496,56 496,56 4566,11748 4563,63468 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-30 9,1905 9,1855 496,69 496,69 4564,829445 4562,345995 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-05-31 9,1665 9,1615 496,72 496,72 4553,18388 4550,70028 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-01 9,1455 9,1405 496,79 496,79 4543,392945 4540,908995 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-02 9,1565 9,1515 496,83 496,83 4549,223895 4546,739745 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-03 9,1315 9,1265 496,89 496,89 4537,351035 4534,866585 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-07 9,1455 9,1405 497 497 4545,3135 4542,8285 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-08 9,1455 9,1405 497,02 497,02 4545,49641 4543,01131 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-09 9,1965 9,1915 497,01 497,01 4570,752465 4568,267415 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-10 9,1975 9,1925 497,01 497,01 4571,249475 4568,764425 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-13 9,2365 9,2315 497,09 497,09 4591,371785 4588,886335 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-14 9,2985 9,2935 497,11 497,11 4622,377335 4619,891785 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-15 9,2695 9,2645 497,14 497,14 4608,23923 4605,75353 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-16 9,2695 9,2645 497,18 497,18 4608,61001 4606,12411 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-17 9,2695 9,2645 497,19 497,19 4608,702705 4606,216755 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-20 9,2255 9,2205 497,29 497,29 4587,748895 4585,262445 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-21 9,2725 9,2675 497,36 497,36 4611,7706 4609,2838 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-22 9,2615 9,2565 497,42 497,42 4606,85533 4604,36823 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-27 9,3855 9,3805 497,57 497,57 4669,943235 4667,455385 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-28 9,3995 9,3945 497,6 497,6 4677,1912 4674,7032 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-29 9,4215 9,4165 497,62 497,62 4688,32683 4685,83873 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-06-30 9,4415 9,4365 497,66 497,66 4698,65689 4696,16859 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-01 9,4595 9,4545 497,7 497,7 4707,99315 4705,50465 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-04 9,4795 9,4745 497,78 497,78 4718,70551 4716,21661 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-05 9,4575 9,4525 497,83 497,83 4708,227225 4705,738075 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-06 9,4195 9,4145 497,89 497,89 4689,874855 4687,385405 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-07 9,3965 9,3915 497,92 497,92 4678,70528 4676,21568 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-08 9,4175 9,4125 497,93 497,93 4689,255775 4686,766125 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-11 9,4665 9,4615 498,04 498,04 4714,69566 4712,20546 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-12 9,4645 9,4595 498,09 498,09 4714,172805 4711,682355 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-13 9,3915 9,3865 498,15 498,15 4678,375725 4675,884975 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-14 9,3675 9,3625 498,17 498,17 4666,607475 4664,116625 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-15 9,4055 9,4005 498,21 498,21 4685,914155 4683,423105 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-18 9,3895 9,3845 498,28 498,28 4678,60006 4676,10866 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-19 9,4425 9,4375 498,33 498,33 4705,481025 4702,989375 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-20 9,4265 9,4215 498,33 498,33 4697,507745 4695,016095 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-21 9,4625 9,4575 498,32 498,32 4715,353 4712,8614 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-22 9,4495 9,4445 498,37 498,37 4709,347315 4706,855465 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-25 9,4275 9,4225 498,45 498,45 4699,137375 4696,645125 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-26 9,4155 9,4105 498,52 498,52 4693,81506 4691,32246 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-27 9,4725 9,4675 498,49 498,49 4721,946525 4719,454075 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-28 9,4515 9,4465 498,53 498,53 4711,856295 4709,363645 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-07-29 9,3885 9,3835 498,57 498,57 4680,824445 4678,331595 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-01 9,3985 9,3935 498,63 498,63 4686,374055 4683,880905 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-02 9,3995 9,3945 498,69 498,69 4687,436655 4684,943205 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-03 9,3755 9,3705 498,69 498,69 4675,468095 4672,974645 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-04 9,3735 9,3685 498,75 498,75 4675,033125 4672,539375 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-05 9,3355 9,3305 498,78 498,78 4656,36069 4653,86679 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-08 9,3335 9,3285 498,86 498,86 4656,10981 4653,61551 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-09 9,3455 9,3405 498,89 498,89 4662,376495 4659,882045 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-10 9,3535 9,3485 498,91 498,91 4666,554685 4664,060135 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-11 9,3365 9,3315 498,94 498,94 4658,35331 4655,85861 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-12 9,3025 9,2975 498,99 498,99 4641,854475 4639,359525 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-16 9,2995 9,2945 499,09 499,09 4641,287455 4638,792005 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-17 9,3405 9,3355 499,18 499,18 4662,59079 4660,09489 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-18 9,3365 9,3315 499,21 499,21 4660,874165 4658,378115 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-19 9,3395 9,3345 499,26 499,26 4662,83877 4660,34247 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-22 9,3655 9,3605 499,35 499,35 4676,662425 4674,165675 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-23 9,3715 9,3665 499,39 499,39 4680,033385 4677,536435 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-24 9,3365 9,3315 499,44 499,44 4663,02156 4660,52436 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-25 9,3335 9,3285 499,47 499,47 4661,803245 4659,305895 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-26 9,3415 9,3365 499,53 499,53 4666,359495 4663,861845 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-29 9,3295 9,3245 499,65 499,65 4661,484675 4658,986425 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-30 9,3285 9,3235 499,72 499,72 4661,63802 4659,13942 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-08-31 9,3585 9,3535 499,75 499,75 4676,910375 4674,411625 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-01 9,3365 9,3315 499,75 499,75 4665,915875 4663,417125 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-02 9,3025 9,2975 499,8 499,8 4649,3895 4646,8905 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-05 9,2845 9,2795 499,89 499,89 4641,228705 4638,729255 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-06 9,3225 9,3175 499,94 499,94 4660,69065 4658,19095 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-07 9,3075 9,3025 500 500 4653,75 4651,25 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-08 9,3255 9,3205 500,02 500,02 4662,93651 4660,43641 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-09 9,3445 9,3395 500,08 500,08 4672,99756 4670,49716 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-12 9,3015 9,2965 500,16 500,16 4652,23824 4649,73744 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-13 9,3015 9,2965 500,16 500,16 4652,23824 4649,73744 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-14 9,3365 9,3315 500,25 500,25 4670,584125 4668,082875 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-15 9,3425 9,3375 500,31 500,31 4674,146175 4671,644625 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-16 9,3465 9,3415 500,31 500,31 4676,147415 4673,645865 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-19 9,3355 9,3305 500,48 500,48 4672,23104 4669,72864 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-20 9,3395 9,3345 500,48 500,48 4674,23296 4671,73056 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-21 9,3405 9,3355 500,51 500,51 4675,013655 4672,511105 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-22 9,3405 9,3355 500,59 500,59 4675,760895 4673,257945 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-23 9,3695 9,3645 500,62 500,62 4690,55909 4688,05599 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-26 9,3815 9,3765 500,71 500,71 4697,410865 4694,907315 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-27 9,3885 9,3835 500,74 500,74 4701,19749 4698,69379 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-28 9,3935 9,3885 500,76 500,76 4703,88906 4701,38526 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-29 9,3845 9,3795 500,78 500,78 4699,56991 4697,06601 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-09-30 9,3435 9,3385 500,82 500,82 4679,41167 4676,90757 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-03 9,3025 9,2975 500,89 500,89 4659,529225 4657,024775 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-04 9,3185 9,3135 500,93 500,93 4667,916205 4665,411555 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-05 9,3105 9,3055 500,93 500,93 4663,908765 4661,404115 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-06 9,3015 9,2965 500,96 500,96 4659,67944 4657,17464 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-07 9,3385 9,3335 500,96 500,96 4678,21496 4675,71016 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-10 9,3465 9,3415 501,03 501,03 4682,876895 4680,371745 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-11 9,3395 9,3345 501,05 501,05 4679,556475 4677,051225 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-12 9,3375 9,3325 501,09 501,09 4678,927875 4676,422425 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-13 9,3815 9,3765 501,1 501,1 4701,06965 4698,56415 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-14 9,4135 9,4085 501,11 501,11 4717,198985 4714,693435 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-17 9,4575 9,4525 501,17 501,17 4739,815275 4737,309425 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-18 9,4625 9,4575 501,19 501,19 4742,510375 4740,004425 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-19 9,4605 9,4555 501,23 501,23 4741,886415 4739,380265 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-20 9,4935 9,4885 501,19 501,19 4758,047265 4755,541315 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-21 9,4915 9,4865 501,25 501,25 4757,614375 4755,108125 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-24 9,5455 9,5405 501,32 501,32 4785,35006 4782,84346 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-25 9,5465 9,5415 501,37 501,37 4786,328705 4783,821855 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-26 9,4975 9,4925 501,39 501,39 4761,951525 4759,444575 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-27 9,5355 9,5305 501,38 501,38 4780,90899 4778,40209 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-28 9,5135 9,5085 501,36 501,36 4769,68836 4767,18156 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-10-31 9,5495 9,5445 501,43 501,43 4788,405785 4785,898635 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-02 9,5855 9,5805 501,48 501,48 4806,93654 4804,42914 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-03 9,6515 9,6465 501,49 501,49 4840,130735 4837,623285 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-04 9,5875 9,5825 501,47 501,47 4807,843625 4805,336275 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-07 9,6075 9,6025 501,52 501,52 4818,3534 4815,8458 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-08 9,5685 9,5635 501,56 501,56 4799,17686 4796,66906 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-09 9,5575 9,5525 501,56 501,56 4793,6597 4791,1519 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-10 9,6105 9,6055 501,62 501,62 4820,81901 4818,31091 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-11 9,6365 9,6315 501,65 501,65 4834,150225 4831,641975 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-14 9,5505 9,5455 501,74 501,74 4791,86787 4789,35917 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-15 9,5805 9,5755 501,78 501,78 4807,30329 4804,79439 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-16 9,6235 9,6185 501,8 501,8 4829,0723 4826,5633 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-17 9,6355 9,6305 501,81 501,81 4835,190255 4832,681205 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-18 9,6085 9,6035 501,83 501,83 4821,833555 4819,324405 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-21 9,5915 9,5865 501,91 501,91 4814,069765 4811,560215 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-22 9,5585 9,5535 501,94 501,94 4797,79349 4795,28379 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-23 9,5155 9,5105 501,97 501,97 4776,495535 4773,985685 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-24 9,5125 9,5075 501,99 501,99 4775,179875 4772,669925 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-25 9,4965 9,4915 502,02 502,02 4767,43293 4764,92283 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-28 9,4835 9,4785 502,1 502,1 4761,66535 4759,15485 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-29 9,4785 9,4735 502,14 502,14 4759,53399 4757,02329 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-11-30 9,5295 9,5245 502,16 502,16 4785,33372 4782,82292 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-01 9,5165 9,5115 502,19 502,19 4779,091135 4776,580185 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-02 9,4905 9,4855 502,24 502,24 4766,50872 4763,99752 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-05 9,4065 9,4015 502,34 502,34 4725,26121 4722,74951 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-06 9,4185 9,4135 502,38 502,38 4731,66603 4729,15413 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-07 9,4255 9,4205 502,41 502,41 4735,465455 4732,953405 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-08 9,3965 9,3915 502,44 502,44 4721,17746 4718,66526 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-12 9,4315 9,4265 502,56 502,56 4739,89464 4737,38184 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-13 9,4295 9,4245 502,6 502,6 4739,2667 4736,7537 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-14 9,4365 9,4315 502,63 502,63 4743,067995 4740,554845 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-15 9,4345 9,4295 502,65 502,65 4742,251425 4739,738175 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-16 9,4765 9,4715 502,65 502,65 4763,362725 4760,849475 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-19 9,4535 9,4485 502,75 502,75 4752,747125 4750,233375 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-20 9,4015 9,3965 502,79 502,79 4726,980185 4724,466235 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-21 9,4485 9,4435 502,84 502,84 4751,08374 4748,56954 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-22 9,4365 9,4315 502,86 502,86 4745,23839 4742,72409 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-23 9,4425 9,4375 502,89 502,89 4748,538825 4746,024375 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-27 9,4915 9,4865 503,01 503,01 4774,319415 4771,804365 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-28 9,4345 9,4295 503,04 503,04 4745,93088 4743,41568 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-29 9,4115 9,4065 503,07 503,07 4734,643305 4732,127955 659292 Banque de Luxembourg S.A. BL - Short Term Euro EUR 2005-12-30 9,4325 9,4275 503,1 503,1 4745,49075 4742,97525 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-03 9,0065 9,0015 322,57 322,57 2905,226705 2903,613855 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-04 9,0345 9,0295 323,6 323,6 2923,5642 2921,9462 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-05 9,0615 9,0565 323,96 323,96 2935,56354 2933,94374 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-07 9,0615 9,0565 322,93 322,93 2926,230195 2924,615545 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-10 9,08619 9,08119 324,16 324,16 2945,3793504 2943,7585504 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-11 9,08619 9,08119 324,61 324,61 2949,4681359 2947,8450859 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-12 9,0455 9,0405 323,83 323,83 2929,204265 2927,585115 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-13 9,0505 9,0455 322,34 322,34 2917,33817 2915,72647 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-14 9,0455 9,0405 323,29 323,29 2924,319695 2922,703245 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-17 9,0685 9,0635 325,47 325,47 2951,524695 2949,897345 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-18 9,0585 9,0535 327,12 327,12 2963,21652 2961,58092 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-19 9,0225 9,0175 328,13 328,13 2960,552925 2958,912275 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-20 9,0315 9,0265 328,05 328,05 2962,783575 2961,143325 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-21 9,0505 9,0455 326,64 326,64 2956,25532 2954,62212 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-24 9,0655 9,0605 325,54 325,54 2951,18287 2949,55517 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-25 9,0715 9,0665 325,38 325,38 2951,68467 2950,05777 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-26 9,0885 9,0835 326,75 326,75 2969,667375 2968,033625 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-27 9,0675 9,0625 327,6 327,6 2970,513 2968,875 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-28 9,0955 9,0905 328,6 328,6 2988,7813 2987,1383 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-01-31 9,1075 9,1025 327,6 327,6 2983,617 2981,979 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-01 9,1035 9,0985 329,73 329,73 3001,697055 3000,048405 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-02 9,0905 9,0855 330,89 330,89 3007,955545 3006,301095 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-03 9,0695 9,0645 331,82 331,82 3009,44149 3007,78239 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-04 9,0895 9,0845 332,59 332,59 3023,076805 3021,413855 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-07 9,0755 9,0705 335,5 335,5 3044,83025 3043,15275 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-08 9,0895 9,0845 337,76 337,76 3070,06952 3068,38072 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-09 9,0695 9,0645 338,46 338,46 3069,66297 3067,97067 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-10 9,0805 9,0755 337,12 337,12 3061,21816 3059,53256 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-11 9,0935 9,0885 336,6 336,6 3060,8721 3059,1891 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-14 9,1105 9,1055 338,26 338,26 3081,71773 3080,02643 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-15 9,0765 9,0715 337,95 337,95 3067,403175 3065,713425 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-16 9,0705 9,0655 338,41 338,41 3069,547905 3067,855855 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-17 9,0925 9,0875 338 338 3073,265 3071,575 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-18 9,0945 9,0895 338,07 338,07 3074,577615 3072,887265 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-21 9,1185 9,1135 338,63 338,63 3087,797655 3086,104505 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-22 9,0975 9,0925 338,98 338,98 3083,87055 3082,17565 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-23 9,1045 9,0995 336,52 336,52 3063,84634 3062,16374 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-24 9,0715 9,0665 335,87 335,87 3046,844705 3045,165355 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-25 9,0845 9,0795 337,04 337,04 3061,83988 3060,15468 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-02-28 9,0505 9,0455 340,9 340,9 3085,31545 3083,61095 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-01 9,0565 9,0515 340,72 340,72 3085,73068 3084,02708 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-02 9,0645 9,0595 343,34 343,34 3112,20543 3110,48873 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-03 9,0675 9,0625 342,95 342,95 3109,699125 3107,984375 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-04 9,0415 9,0365 342,74 342,74 3098,88371 3097,17001 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-07 9,0425 9,0375 344,63 344,63 3116,316775 3114,593625 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-08 9,0345 9,0295 345,35 345,35 3120,064575 3118,337825 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-09 9,0365 9,0315 342,91 342,91 3098,706215 3096,991665 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-10 9,0655 9,0605 340,86 340,86 3090,06633 3088,36203 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-11 9,0795 9,0745 338,88 338,88 3076,86096 3075,16656 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-14 9,0695 9,0645 338,62 338,62 3071,11409 3069,42099 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-15 9,1035 9,0985 339,2 339,2 3087,9072 3086,2112 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-16 9,0975 9,0925 340,15 340,15 3094,514625 3092,813875 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-17 9,1045 9,0995 336,59 336,59 3064,483655 3062,800705 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-18 9,1035 9,0985 336,75 336,75 3065,603625 3063,919875 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-21 9,1265 9,1215 337,17 337,17 3077,182005 3075,496155 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-22 9,1265 9,1215 337,21 337,21 3077,547065 3075,861015 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-23 9,1165 9,1115 337,16 337,16 3073,71914 3072,03334 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-24 9,1135 9,1085 337,05 337,05 3071,705175 3070,019925 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-29 9,1315 9,1265 338,06 338,06 3086,99489 3085,30459 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-30 9,1425 9,1375 336,44 336,44 3075,9027 3074,2205 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-03-31 9,1405 9,1355 335,67 335,67 3068,191635 3066,513285 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-01 9,1645 9,1595 336,38 336,38 3082,75451 3081,07261 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-04 9,1695 9,1645 337,36 337,36 3093,42252 3091,73572 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-05 9,1745 9,1695 337,87 337,87 3099,788315 3098,098965 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-06 9,1705 9,1655 339,65 339,65 3114,760325 3113,062075 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-07 9,1505 9,1455 340,36 340,36 3114,46418 3112,76238 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-08 9,1625 9,1575 340,98 340,98 3124,22925 3122,52435 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-11 9,1705 9,1655 340,79 340,79 3125,214695 3123,510745 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-12 9,1525 9,1475 339,86 339,86 3110,56865 3108,86935 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-13 9,1495 9,1445 340,7 340,7 3117,23465 3115,53115 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-14 9,1685 9,1635 340,06 340,06 3117,84011 3116,13981 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-15 9,1925 9,1875 337,94 337,94 3106,51345 3104,82375 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-18 9,1805 9,1755 332,67 332,67 3054,076935 3052,413585 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-19 9,2035 9,1985 328,3 328,3 3021,50905 3019,86755 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-20 9,1915 9,1865 329,86 329,86 3031,90819 3030,25889 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-21 9,1855 9,1805 328,49 328,49 3017,344895 3015,702445 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-22 9,1625 9,1575 330,35 330,35 3026,831875 3025,180125 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-25 9,1685 9,1635 331,06 331,06 3035,32361 3033,66831 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-26 9,1375 9,1325 333,88 333,88 3050,8285 3049,1591 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-27 9,1465 9,1415 332,76 332,76 3043,58934 3041,92554 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-28 9,1505 9,1455 330,83 330,83 3027,259915 3025,605765 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-04-29 9,1705 9,1655 328,78 328,78 3015,07699 3013,43309 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-02 9,1935 9,1885 330,16 330,16 3035,32596 3033,67516 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-03 9,2245 9,2195 331,62 331,62 3059,02869 3057,37059 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-04 9,1915 9,1865 332,64 332,64 3057,46056 3055,79736 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-06 9,1715 9,1665 335,02 335,02 3072,63593 3070,96083 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-09 9,1815 9,1765 336,51 336,51 3089,666565 3087,984015 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-10 9,1985 9,1935 336,89 336,89 3098,882665 3097,198215 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-11 9,2105 9,2055 335,25 335,25 3087,820125 3086,143875 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-12 9,2315 9,2265 335,27 335,27 3095,045005 3093,368655 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-13 9,2045 9,1995 334,93 334,93 3082,863185 3081,188535 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-17 9,2325 9,2275 335,43 335,43 3096,857475 3095,180325 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-18 9,2095 9,2045 335,23 335,23 3087,300685 3085,624535 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-19 9,1905 9,1855 337,95 337,95 3105,929475 3104,239725 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-20 9,1955 9,1905 339,7 339,7 3123,71135 3122,01285 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-23 9,1805 9,1755 340,21 340,21 3123,297905 3121,596855 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-24 9,1815 9,1765 341,13 341,13 3132,085095 3130,379445 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-25 9,1785 9,1735 341,46 341,46 3134,09061 3132,38331 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-26 9,1945 9,1895 340,54 340,54 3131,09503 3129,39233 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-27 9,1955 9,1905 342,41 342,41 3148,631155 3146,919105 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-30 9,1905 9,1855 342,55 342,55 3148,205775 3146,493025 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-05-31 9,1665 9,1615 343,92 343,92 3152,54268 3150,82308 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-01 9,1455 9,1405 343,87 343,87 3144,863085 3143,143735 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-02 9,1565 9,1515 347,12 347,12 3178,40428 3176,66868 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-03 9,1315 9,1265 347,85 347,85 3176,392275 3174,653025 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-07 9,1455 9,1405 348,36 348,36 3185,92638 3184,18458 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-08 9,1455 9,1405 350,87 350,87 3208,881585 3207,127235 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-09 9,1965 9,1915 349,95 349,95 3218,315175 3216,565425 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-10 9,1975 9,1925 351,27 351,27 3230,805825 3229,049475 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-13 9,2365 9,2315 352,46 352,46 3255,49679 3253,73449 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-14 9,2985 9,2935 353,85 353,85 3290,274225 3288,504975 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-15 9,2695 9,2645 354,14 354,14 3282,70073 3280,93003 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-16 9,2695 9,2645 353,94 353,94 3280,84683 3279,07713 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-17 9,2695 9,2645 355,15 355,15 3292,062925 3290,287175 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-20 9,2255 9,2205 355,27 355,27 3277,543385 3275,767035 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-21 9,2725 9,2675 355,18 355,18 3293,40655 3291,63065 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-22 9,2615 9,2565 355,81 355,81 3295,334315 3293,555265 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-27 9,3855 9,3805 354,17 354,17 3324,062535 3322,291685 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-28 9,3995 9,3945 352,26 352,26 3311,06787 3309,30657 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-29 9,4215 9,4165 354,84 354,84 3343,12506 3341,35086 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-06-30 9,4415 9,4365 354,65 354,65 3348,427975 3346,654725 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-01 9,4595 9,4545 354,39 354,39 3352,352205 3350,580255 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-04 9,4795 9,4745 357,06 357,06 3384,75027 3382,96497 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-05 9,4575 9,4525 358,53 358,53 3390,797475 3389,004825 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-06 9,4195 9,4145 357,96 357,96 3371,80422 3370,01442 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-07 9,3965 9,3915 358,03 358,03 3364,228895 3362,438745 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-08 9,4175 9,4125 355,86 355,86 3351,31155 3349,53225 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-11 9,4665 9,4615 359,21 359,21 3400,461465 3398,665415 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-12 9,4645 9,4595 359,69 359,69 3404,286005 3402,487555 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-13 9,3915 9,3865 358,81 358,81 3369,764115 3367,970065 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-14 9,3675 9,3625 360,89 360,89 3380,637075 3378,832625 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-15 9,4055 9,4005 361,8 361,8 3402,9099 3401,1009 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-18 9,3895 9,3845 362,38 362,38 3402,56701 3400,75511 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-19 9,4425 9,4375 361,34 361,34 3411,95295 3410,14625 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-20 9,4265 9,4215 363,12 363,12 3422,95068 3421,13508 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-21 9,4625 9,4575 363,58 363,58 3440,37575 3438,55785 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-22 9,4495 9,4445 362,77 362,77 3427,995115 3426,181265 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-25 9,4275 9,4225 363,79 363,79 3429,630225 3427,811275 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-26 9,4155 9,4105 364,57 364,57 3432,608835 3430,785985 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-27 9,4725 9,4675 364,64 364,64 3454,0524 3452,2292 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-28 9,4515 9,4465 365,85 365,85 3457,831275 3456,002025 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-07-29 9,3885 9,3835 367,29 367,29 3448,302165 3446,465715 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-01 9,3985 9,3935 366,76 366,76 3446,99386 3445,16006 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-02 9,3995 9,3945 366,87 366,87 3448,394565 3446,560215 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-03 9,3755 9,3705 369,39 369,39 3463,215945 3461,368995 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-04 9,3735 9,3685 369,7 369,7 3465,38295 3463,53445 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-05 9,3355 9,3305 367,47 367,47 3430,516185 3428,678835 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-08 9,3335 9,3285 365,46 365,46 3411,02091 3409,19361 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-09 9,3455 9,3405 365,46 365,46 3415,40643 3413,57913 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-10 9,3535 9,3485 367,29 367,29 3435,447015 3433,610565 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-11 9,3365 9,3315 368,51 368,51 3440,593615 3438,751065 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-12 9,3025 9,2975 369,36 369,36 3435,9714 3434,1246 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-16 9,2995 9,2945 368,96 368,96 3431,14352 3429,29872 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-17 9,3405 9,3355 368,21 368,21 3439,265505 3437,424455 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-18 9,3365 9,3315 367,06 367,06 3427,05569 3425,22039 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-19 9,3395 9,3345 366,88 366,88 3426,47576 3424,64136 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-22 9,3655 9,3605 367,85 367,85 3445,099175 3443,259925 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-23 9,3715 9,3665 368,03 368,03 3448,993145 3447,152995 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-24 9,3365 9,3315 367,88 367,88 3434,71162 3432,87222 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-25 9,3335 9,3285 366,48 366,48 3420,54108 3418,70868 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-26 9,3415 9,3365 364,41 364,41 3404,136015 3402,313965 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-29 9,3295 9,3245 363,05 363,05 3387,074975 3385,259725 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-30 9,3285 9,3235 363,51 363,51 3391,003035 3389,185485 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-08-31 9,3585 9,3535 363,98 363,98 3406,30683 3404,48693 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-01 9,3365 9,3315 366,45 366,45 3421,360425 3419,528175 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-02 9,3025 9,2975 367,44 367,44 3418,1106 3416,2734 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-05 9,2845 9,2795 367,44 367,44 3411,49668 3409,65948 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-06 9,3225 9,3175 368,43 368,43 3434,688675 3432,846525 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-07 9,3075 9,3025 370,94 370,94 3452,52405 3450,66935 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-08 9,3255 9,3205 372,04 372,04 3469,45902 3467,59882 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-09 9,3445 9,3395 371,26 371,26 3469,23907 3467,38277 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-12 9,3015 9,2965 373,66 373,66 3475,59849 3473,73019 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-13 9,3015 9,2965 376,08 376,08 3498,10812 3496,22772 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-14 9,3365 9,3315 373,52 373,52 3487,36948 3485,50188 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-15 9,3425 9,3375 373,95 373,95 3493,627875 3491,758125 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-16 9,3465 9,3415 375,73 375,73 3511,760445 3509,881795 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-19 9,3355 9,3305 376,3 376,3 3512,94865 3511,06715 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-20 9,3395 9,3345 376,74 376,74 3518,56323 3516,67953 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-21 9,3405 9,3355 375,95 375,95 3511,560975 3509,681225 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-22 9,3405 9,3355 372,23 372,23 3476,814315 3474,953165 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-23 9,3695 9,3645 373,68 373,68 3501,19476 3499,32636 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-26 9,3815 9,3765 374,6 374,6 3514,3099 3512,4369 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-27 9,3885 9,3835 377,02 377,02 3539,65227 3537,76717 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-28 9,3935 9,3885 377,08 377,08 3542,10098 3540,21558 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-29 9,3845 9,3795 378,56 378,56 3552,59632 3550,70352 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-09-30 9,3435 9,3385 379,48 379,48 3545,67138 3543,77398 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-03 9,3025 9,2975 380,36 380,36 3538,2989 3536,3971 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-04 9,3185 9,3135 382,95 382,95 3568,519575 3566,604825 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-05 9,3105 9,3055 382,33 382,33 3559,683465 3557,771815 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-06 9,3015 9,2965 378,03 378,03 3516,246045 3514,355895 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-07 9,3385 9,3335 371,94 371,94 3473,36169 3471,50199 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-10 9,3465 9,3415 370,38 370,38 3461,75667 3459,90477 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-11 9,3395 9,3345 371,16 371,16 3466,44882 3464,59302 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-12 9,3375 9,3325 373,12 373,12 3484,008 3482,1424 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-13 9,3815 9,3765 370,69 370,69 3477,628235 3475,774785 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-14 9,4135 9,4085 368,17 368,17 3465,768295 3463,927445 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-17 9,4575 9,4525 367,26 367,26 3473,36145 3471,52515 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-18 9,4625 9,4575 367,66 367,66 3478,98275 3477,14445 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-19 9,4605 9,4555 367,25 367,25 3474,368625 3472,532375 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-20 9,4935 9,4885 363,54 363,54 3451,26699 3449,44929 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-21 9,4915 9,4865 363,91 363,91 3454,051765 3452,232215 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-24 9,5455 9,5405 362,46 362,46 3459,86193 3458,04963 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-25 9,5465 9,5415 366,07 366,07 3494,687255 3492,856905 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-26 9,4975 9,4925 365,11 365,11 3467,632225 3465,806675 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-27 9,5355 9,5305 366,54 366,54 3495,14217 3493,30947 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-28 9,5135 9,5085 363,15 363,15 3454,827525 3453,011775 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-10-31 9,5495 9,5445 364,12 364,12 3477,16394 3475,34334 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-02 9,5855 9,5805 371,29 371,29 3559,000295 3557,143845 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-03 9,6515 9,6465 374,61 374,61 3615,548415 3613,675365 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-04 9,5875 9,5825 378,08 378,08 3624,842 3622,9516 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-07 9,6075 9,6025 379,95 379,95 3650,369625 3648,469875 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-08 9,5685 9,5635 381,43 381,43 3649,712955 3647,805805 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-09 9,5575 9,5525 380,99 380,99 3641,311925 3639,406975 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-10 9,6105 9,6055 381,17 381,17 3663,234285 3661,328435 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-11 9,6365 9,6315 381,55 381,55 3676,806575 3674,898825 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-14 9,5505 9,5455 383,77 383,77 3665,195385 3663,276535 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-15 9,5805 9,5755 384,6 384,6 3684,6603 3682,7373 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-16 9,6235 9,6185 383,74 383,74 3692,92189 3691,00319 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-17 9,6355 9,6305 382,63 382,63 3686,831365 3684,918215 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-18 9,6085 9,6035 383,82 383,82 3687,93447 3686,01537 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-21 9,5915 9,5865 386,1 386,1 3703,27815 3701,34765 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-22 9,5585 9,5535 386,45 386,45 3693,882325 3691,950075 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-23 9,5155 9,5105 386,99 386,99 3682,403345 3680,468395 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-24 9,5125 9,5075 387,55 387,55 3686,569375 3684,631625 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-25 9,4965 9,4915 387,98 387,98 3684,45207 3682,51217 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-28 9,4835 9,4785 389,13 389,13 3690,314355 3688,368705 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-29 9,4785 9,4735 387,29 387,29 3670,928265 3668,991815 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-11-30 9,5295 9,5245 387,72 387,72 3694,77774 3692,83914 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-01 9,5165 9,5115 386,3 386,3 3676,22395 3674,29245 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-02 9,4905 9,4855 390,38 390,38 3704,90139 3702,94949 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-05 9,4065 9,4015 393,1 393,1 3697,69515 3695,72965 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-06 9,4185 9,4135 392,21 392,21 3694,029885 3692,068835 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-07 9,4255 9,4205 392,33 392,33 3697,906415 3695,944765 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-08 9,3965 9,3915 392,9 392,9 3691,88485 3689,92035 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-12 9,4315 9,4265 391,01 391,01 3687,810815 3685,855765 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-13 9,4295 9,4245 391,37 391,37 3690,423415 3688,466565 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-14 9,4365 9,4315 392,68 392,68 3705,52482 3703,56142 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-15 9,4345 9,4295 392,92 392,92 3707,00374 3705,03914 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-16 9,4765 9,4715 393,84 393,84 3732,22476 3730,25556 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-19 9,4535 9,4485 394,38 394,38 3728,27133 3726,29943 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-20 9,4015 9,3965 393,65 393,65 3700,900475 3698,932225 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-21 9,4485 9,4435 394,86 394,86 3730,83471 3728,86041 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-22 9,4365 9,4315 396,55 396,55 3742,044075 3740,061325 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-23 9,4425 9,4375 396,97 396,97 3748,389225 3746,404375 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-27 9,4915 9,4865 397,3 397,3 3770,97295 3768,98645 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-28 9,4345 9,4295 396,93 396,93 3744,836085 3742,851435 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-29 9,4115 9,4065 396,61 396,61 3732,695015 3730,711965 320358 Banque de Luxembourg S.A. BL- Global Equities EUR 2005-12-30 9,4325 9,4275 398,58 398,58 3759,60585 3757,61295 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-03 6,668 6,658 12,96 12,96 86,41728 86,28768 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-04 6,728 6,718 12,86 12,86 86,52208 86,39348 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-05 6,828 6,818 12,64 12,64 86,30592 86,17952 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-07 6,87 6,86 12,52 12,52 86,0124 85,8872 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-10 6,96091 6,95091 12,5 12,5 87,011375 86,886375 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-11 6,96091 6,95091 12,54 12,54 87,2898114 87,1644114 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-12 6,913 6,903 12,55 12,55 86,75815 86,63265 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-13 6,843 6,833 12,66 12,66 86,63238 86,50578 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-14 6,915 6,905 12,68 12,68 87,6822 87,5554 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-17 6,915 6,905 12,9 12,9 89,2035 89,0745 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-18 6,968 6,958 12,91 12,91 89,95688 89,82778 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-19 6,91 6,9 12,92 12,92 89,2772 89,148 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-20 6,96 6,95 12,84 12,84 89,3664 89,238 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-21 6,978 6,968 12,79 12,79 89,24862 89,12072 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-24 6,933 6,923 12,75 12,75 88,39575 88,26825 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-25 6,95 6,94 12,79 12,79 88,8905 88,7626 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-26 6,995 6,985 12,88 12,88 90,0956 89,9668 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-27 6,93 6,92 12,85 12,85 89,0505 88,922 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-28 6,985 6,975 12,87 12,87 89,89695 89,76825 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-01-31 6,998 6,988 13 13 90,974 90,844 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-01 6,993 6,983 12,94 12,94 90,48942 90,36002 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-02 6,953 6,943 12,95 12,95 90,04135 89,91185 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-03 6,968 6,958 12,99 12,99 90,51432 90,38442 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-04 7,01 7 13,02 13,02 91,2702 91,14 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-07 7,065 7,055 13,17 13,17 93,04605 92,91435 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-08 7,123 7,113 13,2 13,2 94,0236 93,8916 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-09 7,1 7,09 13,14 13,14 93,294 93,1626 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-10 7,088 7,078 13,13 13,13 93,06544 92,93414 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-11 7,068 7,058 13,13 13,13 92,80284 92,67154 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-14 7,03 7,02 13,39 13,39 94,1317 93,9978 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-15 7,005 6,995 13,41 13,41 93,93705 93,80295 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-16 6,973 6,963 13,43 13,43 93,64739 93,51309 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-17 6,97 6,96 13,38 13,38 93,2586 93,1248 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-18 6,965 6,955 13,48 13,48 93,8882 93,7534 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-21 6,978 6,968 13,49 13,49 94,13322 93,99832 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-22 6,905 6,895 13,47 13,47 93,01035 92,87565 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-23 6,895 6,885 13,44 13,44 92,6688 92,5344 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-24 6,858 6,848 13,58 13,58 93,13164 92,99584 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-25 6,885 6,875 13,68 13,68 94,1868 94,05 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-02-28 6,828 6,818 13,78 13,78 94,08984 93,95204 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-01 6,87 6,86 13,79 13,79 94,7373 94,5994 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-02 6,888 6,878 13,64 13,64 93,95232 93,81592 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-03 6,903 6,893 13,64 13,64 94,15692 94,02052 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-04 6,9 6,89 13,56 13,56 93,564 93,4284 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-07 6,84 6,83 13,61 13,61 93,0924 92,9563 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-08 6,825 6,815 13,63 13,63 93,02475 92,88845 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-09 6,76 6,75 13,71 13,71 92,6796 92,5425 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-10 6,745 6,735 13,64 13,64 92,0018 91,8654 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-11 6,765 6,755 13,77 13,77 93,15405 93,01635 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-14 6,76 6,75 13,7 13,7 92,612 92,475 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-15 6,815 6,805 13,45 13,45 91,66175 91,52725 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-16 6,81 6,8 13,52 13,52 92,0712 91,936 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-17 6,795 6,785 13,49 13,49 91,66455 91,52965 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-18 6,828 6,818 13,46 13,46 91,90488 91,77028 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-21 6,908 6,898 13,46 13,46 92,98168 92,84708 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-22 6,928 6,918 13,33 13,33 92,35024 92,21694 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-23 6,973 6,963 13,23 13,23 92,25279 92,12049 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-24 7,008 6,998 13,13 13,13 92,01504 91,88374 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-29 7,055 7,045 12,98 12,98 91,5739 91,4441 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-30 7,053 7,043 12,91 12,91 91,05423 90,92513 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-03-31 7,065 7,055 13,01 13,01 91,91565 91,78555 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-01 7,07 7,06 13,2 13,2 93,324 93,192 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-04 7,113 7,103 13,22 13,22 94,03386 93,90166 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-05 7,163 7,153 13,18 13,18 94,40834 94,27654 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-06 7,125 7,115 13,25 13,25 94,40625 94,27375 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-07 7,083 7,073 13,23 13,23 93,70809 93,57579 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-08 7,153 7,143 13,32 13,32 95,27796 95,14476 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-11 7,098 7,088 13,27 13,27 94,19046 94,05776 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-12 7,048 7,038 13,31 13,31 93,80888 93,67578 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-13 7,075 7,065 13,35 13,35 94,45125 94,31775 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-14 7,12 7,11 13,19 13,19 93,9128 93,7809 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-15 7,17 7,16 12,97 12,97 92,9949 92,8652 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-18 7,08 7,07 12,66 12,66 89,6328 89,5062 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-19 7,068 7,058 12,79 12,79 90,39972 90,27182 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-20 7,043 7,033 12,83 12,83 90,36169 90,23339 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-21 7,025 7,015 12,86 12,86 90,3415 90,2129 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-22 7,023 7,013 12,95 12,95 90,94785 90,81835 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-25 7,04 7,03 12,98 12,98 91,3792 91,2494 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-26 7,035 7,025 13,07 13,07 91,94745 91,81675 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-27 7,085 7,075 12,97 12,97 91,89245 91,76275 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-28 7,085 7,075 12,97 12,97 91,89245 91,76275 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-04-29 7,08 7,07 12,92 12,92 91,4736 91,3444 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-02 7,15 7,14 12,93 12,93 92,4495 92,3202 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-03 7,178 7,168 12,92 12,92 92,73976 92,61056 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-04 7,11 7,1 13,03 13,03 92,6433 92,513 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-06 7,085 7,075 13,25 13,25 93,87625 93,74375 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-09 7,168 7,158 13,25 13,25 94,976 94,8435 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-10 7,178 7,168 13,21 13,21 94,82138 94,68928 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-11 7,15 7,14 13,13 13,13 93,8795 93,7482 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-12 7,243 7,233 13,14 13,14 95,17302 95,04162 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-13 7,265 7,255 13,09 13,09 95,09885 94,96795 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-17 7,313 7,303 12,94 12,94 94,63022 94,50082 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-18 7,3 7,29 12,93 12,93 94,389 94,2597 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-19 7,26 7,25 13,11 13,11 95,1786 95,0475 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-20 7,28 7,27 13,09 13,09 95,2952 95,1643 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-24 7,295 7,285 13,07 13,07 95,34565 95,21495 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-25 7,298 7,288 12,96 12,96 94,58208 94,45248 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-26 7,33 7,32 12,99 12,99 95,2167 95,0868 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-27 7,338 7,328 13,18 13,18 96,71484 96,58304 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-30 7,338 7,328 13,27 13,27 97,37526 97,24256 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-05-31 7,403 7,393 13,25 13,25 98,08975 97,95725 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-01 7,428 7,418 13,17 13,17 97,82676 97,69506 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-02 7,473 7,463 13,2 13,2 98,6436 98,5116 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-03 7,438 7,428 13,28 13,28 98,77664 98,64384 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-07 7,448 7,438 13,33 13,33 99,28184 99,14854 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-08 7,435 7,425 13,39 13,39 99,55465 99,42075 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-09 7,523 7,513 13,39 13,39 100,73297 100,59907 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-10 7,525 7,515 13,48 13,48 101,437 101,3022 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-13 7,643 7,633 13,51 13,51 103,25693 103,12183 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-14 7,663 7,653 13,42 13,42 102,83746 102,70326 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-15 7,693 7,683 13,51 13,51 103,93243 103,79733 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-16 7,678 7,668 13,55 13,55 104,0369 103,9014 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-17 7,643 7,633 13,59 13,59 103,86837 103,73247 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-20 7,543 7,533 13,61 13,61 102,66023 102,52413 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-21 7,648 7,638 13,56 13,56 103,70688 103,57128 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-22 7,608 7,598 13,72 13,72 104,38176 104,24456 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-27 7,73 7,72 13,63 13,63 105,3599 105,2236 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-28 7,76 7,75 13,65 13,65 105,924 105,7875 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-29 7,833 7,823 13,56 13,56 106,21548 106,07988 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-06-30 7,823 7,813 13,55 13,55 106,00165 105,86615 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-01 7,858 7,848 13,61 13,61 106,94738 106,81128 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-04 7,945 7,935 13,57 13,57 107,81365 107,67795 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-05 7,963 7,953 13,5 13,5 107,5005 107,3655 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-06 7,895 7,885 13,53 13,53 106,81935 106,68405 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-07 7,878 7,868 13,5 13,5 106,353 106,218 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-08 7,913 7,903 13,45 13,45 106,42985 106,29535 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-11 7,89 7,88 13,68 13,68 107,9352 107,7984 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-12 7,77 7,76 13,78 13,78 107,0706 106,9328 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-13 7,703 7,693 13,91 13,91 107,14873 107,00963 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-14 7,76 7,75 14,01 14,01 108,7176 108,5775 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-15 7,76 7,75 13,95 13,95 108,252 108,1125 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-18 7,78 7,77 13,98 13,98 108,7644 108,6246 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-19 7,878 7,868 14,08 14,08 110,92224 110,78144 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-20 7,818 7,808 14,09 14,09 110,15562 110,01472 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-21 7,775 7,765 14,13 14,13 109,86075 109,71945 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-22 7,758 7,748 14,22 14,22 110,31876 110,17656 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-25 7,838 7,828 14,31 14,31 112,16178 112,01868 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-26 7,818 7,808 14,25 14,25 111,4065 111,264 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-27 7,905 7,895 14,22 14,22 112,4091 112,2669 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-28 7,848 7,838 14,34 14,34 112,54032 112,39692 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-07-29 7,748 7,738 14,4 14,4 111,5712 111,4272 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-01 7,72 7,71 14,46 14,46 111,6312 111,4866 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-02 7,7 7,69 14,59 14,59 112,343 112,1971 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-03 7,685 7,675 14,67 14,67 112,73895 112,59225 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-04 7,618 7,608 14,65 14,65 111,6037 111,4572 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-05 7,548 7,538 14,54 14,54 109,74792 109,60252 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-08 7,558 7,548 14,51 14,51 109,66658 109,52148 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-09 7,548 7,538 14,55 14,55 109,8234 109,6779 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-10 7,558 7,548 14,66 14,66 110,80028 110,65368 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-11 7,523 7,513 14,75 14,75 110,96425 110,81675 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-12 7,46 7,45 14,75 14,75 110,035 109,8875 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-16 7,523 7,513 14,58 14,58 109,68534 109,53954 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-17 7,605 7,595 14,56 14,56 110,7288 110,5832 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-18 7,61 7,6 14,33 14,33 109,0513 108,908 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-19 7,698 7,688 14,2 14,2 109,3116 109,1696 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-22 7,69 7,68 14,38 14,38 110,5822 110,4384 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-23 7,663 7,653 14,26 14,26 109,27438 109,13178 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-24 7,673 7,663 14,09 14,09 108,11257 107,97167 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-25 7,588 7,578 14,14 14,14 107,29432 107,15292 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-26 7,578 7,568 14,13 14,13 107,07714 106,93584 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-29 7,573 7,563 13,93 13,93 105,49189 105,35259 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-30 7,633 7,623 13,93 13,93 106,32769 106,18839 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-08-31 7,668 7,658 13,93 13,93 106,81524 106,67594 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-01 7,568 7,558 14,13 14,13 106,93584 106,79454 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-02 7,435 7,425 14,3 14,3 106,3205 106,1775 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-05 7,41 7,4 14,29 14,29 105,8889 105,746 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-06 7,485 7,475 14,34 14,34 107,3349 107,1915 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-07 7,43 7,42 14,43 14,43 107,2149 107,0706 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-08 7,498 7,488 14,45 14,45 108,3461 108,2016 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-09 7,523 7,513 14,45 14,45 108,70735 108,56285 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-12 7,555 7,545 14,56 14,56 110,0008 109,8552 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-13 7,57 7,56 14,51 14,51 109,8407 109,6956 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-14 7,61 7,6 14,56 14,56 110,8016 110,656 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-15 7,658 7,648 14,47 14,47 110,81126 110,66656 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-16 7,613 7,603 14,39 14,39 109,55107 109,40717 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-19 7,698 7,688 14,37 14,37 110,62026 110,47656 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-20 7,688 7,678 14,57 14,57 112,01416 111,86846 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-21 7,663 7,653 14,56 14,56 111,57328 111,42768 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-22 7,648 7,638 14,49 14,49 110,81952 110,67462 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-23 7,733 7,723 14,33 14,33 110,81389 110,67059 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-26 7,798 7,788 14,43 14,43 112,52514 112,38084 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-27 7,825 7,815 14,43 14,43 112,91475 112,77045 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-28 7,81 7,8 14,51 14,51 113,3231 113,178 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-29 7,785 7,775 14,64 14,64 113,9724 113,826 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-09-30 7,785 7,775 14,65 14,65 114,05025 113,90375 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-03 7,783 7,773 14,63 14,63 113,86529 113,71899 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-04 7,82 7,81 14,8 14,8 115,736 115,588 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-05 7,795 7,785 14,69 14,69 114,50855 114,36165 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-06 7,713 7,703 14,41 14,41 111,14433 111,00023 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-07 7,683 7,673 14,41 14,41 110,71203 110,56793 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-10 7,698 7,688 14,54 14,54 111,92892 111,78352 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-11 7,77 7,76 14,57 14,57 113,2089 113,0632 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-12 7,805 7,795 14,22 14,22 110,9871 110,8449 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-13 7,83 7,82 14,07 14,07 110,1681 110,0274 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-14 7,833 7,823 13,99 13,99 109,58367 109,44377 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-17 7,835 7,825 13,85 13,85 108,51475 108,37625 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-18 7,893 7,883 13,93 13,93 109,94949 109,81019 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-19 7,96 7,95 13,57 13,57 108,0172 107,8815 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-20 7,93 7,92 13,63 13,63 108,0859 107,9496 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-21 7,883 7,873 13,72 13,72 108,15476 108,01756 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-24 7,995 7,985 13,64 13,64 109,0518 108,9154 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-25 7,99 7,98 13,66 13,66 109,1434 109,0068 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-26 7,868 7,858 13,69 13,69 107,71292 107,57602 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-27 7,868 7,858 13,57 13,57 106,76876 106,63306 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-28 7,825 7,815 13,44 13,44 105,168 105,0336 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-10-31 7,905 7,895 13,67 13,67 108,06135 107,92465 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-02 7,98 7,97 14,06 14,06 112,1988 112,0582 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-03 8,01 8 14,1 14,1 112,941 112,8 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-04 8,028 8,018 14,11 14,11 113,27508 113,13398 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-07 8,135 8,125 13,99 13,99 113,80865 113,66875 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-08 8,17 8,16 14 14 114,38 114,24 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-09 8,12 8,11 14,13 14,13 114,7356 114,5943 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-10 8,173 8,163 14,14 14,14 115,56622 115,42482 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-11 8,235 8,225 14,32 14,32 117,9252 117,782 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-14 8,133 8,123 14,29 14,29 116,22057 116,07767 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-15 8,185 8,175 14,25 14,25 116,63625 116,49375 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-16 8,21 8,2 14,28 14,28 117,2388 117,096 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-17 8,258 8,248 14,29 14,29 118,00682 117,86392 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-18 8,223 8,213 14,44 14,44 118,74012 118,59572 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-21 8,123 8,113 14,39 14,39 116,88997 116,74607 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-22 8,15 8,14 14,24 14,24 116,056 115,9136 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-23 8,048 8,038 14,59 14,59 117,42032 117,27442 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-24 8,053 8,043 14,63 14,63 117,81539 117,66909 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-25 8,078 8,068 14,59 14,59 117,85802 117,71212 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-28 8,118 8,108 14,62 14,62 118,68516 118,53896 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-29 8,015 8,005 14,49 14,49 116,13735 115,99245 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-11-30 8,088 8,078 14,61 14,61 118,16568 118,01958 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-01 8,083 8,073 14,64 14,64 118,33512 118,18872 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-02 8,103 8,093 14,75 14,75 119,51925 119,37175 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-05 8,045 8,035 14,85 14,85 119,46825 119,31975 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-06 7,993 7,983 14,84 14,84 118,61612 118,46772 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-07 8,015 8,005 14,94 14,94 119,7441 119,5947 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-08 7,988 7,978 14,81 14,81 118,30228 118,15418 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-12 7,953 7,943 14,91 14,91 118,57923 118,43013 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-13 7,905 7,895 14,97 14,97 118,33785 118,18815 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-14 7,848 7,838 14,99 14,99 117,64152 117,49162 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-15 7,858 7,848 15,01 15,01 117,94858 117,79848 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-16 7,903 7,893 14,95 14,95 118,14985 118,00035 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-19 7,865 7,855 15,17 15,17 119,31205 119,16035 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-20 7,848 7,838 15,16 15,16 118,97568 118,82408 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-21 7,948 7,938 15,28 15,28 121,44544 121,29264 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-22 7,98 7,97 15,22 15,22 121,4556 121,3034 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-23 7,955 7,945 15,36 15,36 122,1888 122,0352 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-27 8,01 8 15,48 15,48 123,9948 123,84 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-28 7,915 7,905 15,41 15,41 121,97015 121,81605 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-29 7,938 7,928 15,53 15,53 123,27714 123,12184 166173 Credit Agricole Asset Management S.A. CA-Funds Asian Growth USD 2005-12-30 7,958 7,948 15,55 15,55 123,7469 123,5914 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-03 9,0065 9,0015 6,63 6,63 59,713095 59,679945 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-04 9,0345 9,0295 6,66 6,66 60,16977 60,13647 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-05 9,0615 9,0565 6,69 6,69 60,621435 60,587985 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-07 9,0615 9,0565 6,66 6,66 60,34959 60,31629 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-10 9,08619 9,08119 6,69 6,69 60,7866111 60,7531611 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-11 9,08619 9,08119 6,69 6,69 60,7866111 60,7531611 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-12 9,0455 9,0405 6,65 6,65 60,152575 60,119325 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-13 9,0505 9,0455 6,59 6,59 59,642795 59,609845 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-14 9,0455 9,0405 6,62 6,62 59,88121 59,84811 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-17 9,0685 9,0635 6,65 6,65 60,305525 60,272275 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-18 9,0585 9,0535 6,69 6,69 60,601365 60,567915 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-19 9,0225 9,0175 6,69 6,69 60,360525 60,327075 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-20 9,0315 9,0265 6,7 6,7 60,51105 60,47755 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-21 9,0505 9,0455 6,66 6,66 60,27633 60,24303 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-24 9,0655 9,0605 6,66 6,66 60,37623 60,34293 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-25 9,0715 9,0665 6,65 6,65 60,325475 60,292225 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-26 9,0885 9,0835 6,7 6,7 60,89295 60,85945 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-27 9,0675 9,0625 6,7 6,7 60,75225 60,71875 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-28 9,0955 9,0905 6,73 6,73 61,212715 61,179065 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-01-31 9,1075 9,1025 6,69 6,69 60,929175 60,895725 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-01 9,1035 9,0985 6,75 6,75 61,448625 61,414875 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-02 9,0905 9,0855 6,8 6,8 61,8154 61,7814 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-03 9,0695 9,0645 6,82 6,82 61,85399 61,81989 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-04 9,0895 9,0845 6,8 6,8 61,8086 61,7746 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-07 9,0755 9,0705 6,86 6,86 62,25793 62,22363 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-08 9,0895 9,0845 6,91 6,91 62,808445 62,773895 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-09 9,0695 9,0645 6,91 6,91 62,670245 62,635695 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-10 9,0805 9,0755 6,92 6,92 62,83706 62,80246 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-11 9,0935 9,0885 6,89 6,89 62,654215 62,619765 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-14 9,1105 9,1055 6,96 6,96 63,40908 63,37428 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-15 9,0765 9,0715 6,96 6,96 63,17244 63,13764 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-16 9,0705 9,0655 6,92 6,92 62,76786 62,73326 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-17 9,0925 9,0875 6,95 6,95 63,192875 63,158125 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-18 9,0945 9,0895 6,95 6,95 63,206775 63,172025 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-21 9,1185 9,1135 6,97 6,97 63,555945 63,521095 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-22 9,0975 9,0925 6,96 6,96 63,3186 63,2838 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-23 9,1045 9,0995 6,92 6,92 63,00314 62,96854 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-24 9,0715 9,0665 6,88 6,88 62,41192 62,37752 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-25 9,0845 9,0795 6,87 6,87 62,410515 62,376165 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-02-28 9,0505 9,0455 6,95 6,95 62,900975 62,866225 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-01 9,0565 9,0515 6,94 6,94 62,85211 62,81741 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-02 9,0645 9,0595 6,98 6,98 63,27021 63,23531 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-03 9,0675 9,0625 6,99 6,99 63,381825 63,346875 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-04 9,0415 9,0365 6,99 6,99 63,200085 63,165135 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-07 9,0425 9,0375 7,04 7,04 63,6592 63,624 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-08 9,0345 9,0295 7,04 7,04 63,60288 63,56768 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-09 9,0365 9,0315 7,01 7,01 63,345865 63,310815 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-10 9,0655 9,0605 6,97 6,97 63,186535 63,151685 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-11 9,0795 9,0745 6,9 6,9 62,64855 62,61405 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-14 9,0695 9,0645 6,91 6,91 62,670245 62,635695 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-15 9,1035 9,0985 6,92 6,92 62,99622 62,96162 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-16 9,0975 9,0925 6,97 6,97 63,409575 63,374725 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-17 9,1045 9,0995 6,88 6,88 62,63896 62,60456 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-18 9,1035 9,0985 6,89 6,89 62,723115 62,688665 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-21 9,1265 9,1215 6,92 6,92 63,15538 63,12078 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-22 9,1265 9,1215 6,9 6,9 62,97285 62,93835 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-23 9,1165 9,1115 6,92 6,92 63,08618 63,05158 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-24 9,1135 9,1085 6,89 6,89 62,792015 62,757565 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-29 9,1315 9,1265 6,92 6,92 63,18998 63,15538 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-30 9,1425 9,1375 6,93 6,93 63,357525 63,322875 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-03-31 9,1405 9,1355 6,91 6,91 63,160855 63,126305 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-01 9,1645 9,1595 6,91 6,91 63,326695 63,292145 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-04 9,1695 9,1645 6,95 6,95 63,728025 63,693275 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-05 9,1745 9,1695 6,92 6,92 63,48754 63,45294 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-06 9,1705 9,1655 6,98 6,98 64,01009 63,97519 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-07 9,1505 9,1455 7 7 64,0535 64,0185 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-08 9,1625 9,1575 7,02 7,02 64,32075 64,28565 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-11 9,1705 9,1655 7,04 7,04 64,56032 64,52512 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-12 9,1525 9,1475 7,02 7,02 64,25055 64,21545 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-13 9,1495 9,1445 6,99 6,99 63,955005 63,920055 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-14 9,1685 9,1635 7,01 7,01 64,271185 64,236135 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-15 9,1925 9,1875 6,99 6,99 64,255575 64,220625 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-18 9,1805 9,1755 6,87 6,87 63,070035 63,035685 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-19 9,2035 9,1985 6,75 6,75 62,123625 62,089875 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-20 9,1915 9,1865 6,79 6,79 62,410285 62,376335 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-21 9,1855 9,1805 6,76 6,76 62,09398 62,06018 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-22 9,1625 9,1575 6,76 6,76 61,9385 61,9047 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-25 9,1685 9,1635 6,82 6,82 62,52917 62,49507 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-26 9,1375 9,1325 6,85 6,85 62,591875 62,557625 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-27 9,1465 9,1415 6,82 6,82 62,37913 62,34503 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-28 9,1505 9,1455 6,72 6,72 61,49136 61,45776 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-04-29 9,1705 9,1655 6,69 6,69 61,350645 61,317195 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-02 9,1935 9,1885 6,69 6,69 61,504515 61,471065 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-03 9,2245 9,2195 6,73 6,73 62,080885 62,047235 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-04 9,1915 9,1865 6,76 6,76 62,13454 62,10074 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-06 9,1715 9,1665 6,83 6,83 62,641345 62,607195 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-09 9,1815 9,1765 6,86 6,86 62,98509 62,95079 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-10 9,1985 9,1935 6,84 6,84 62,91774 62,88354 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-11 9,2105 9,2055 6,8 6,8 62,6314 62,5974 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-12 9,2315 9,2265 6,78 6,78 62,58957 62,55567 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-13 9,2045 9,1995 6,82 6,82 62,77469 62,74059 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-17 9,2325 9,2275 6,8 6,8 62,781 62,747 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-18 9,2095 9,2045 6,8 6,8 62,6246 62,5906 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-19 9,1905 9,1855 6,89 6,89 63,322545 63,288095 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-20 9,1955 9,1905 6,92 6,92 63,63286 63,59826 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-24 9,1815 9,1765 6,96 6,96 63,90324 63,86844 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-25 9,1785 9,1735 6,95 6,95 63,790575 63,755825 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-26 9,1945 9,1895 6,94 6,94 63,80983 63,77513 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-27 9,1955 9,1905 6,99 6,99 64,276545 64,241595 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-30 9,1905 9,1855 6,99 6,99 64,241595 64,206645 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-05-31 9,1665 9,1615 7,02 7,02 64,34883 64,31373 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-01 9,1455 9,1405 7,03 7,03 64,292865 64,257715 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-02 9,1565 9,1515 7,13 7,13 65,285845 65,250195 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-03 9,1315 9,1265 7,12 7,12 65,01628 64,98068 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-07 9,1455 9,1405 7,09 7,09 64,841595 64,806145 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-08 9,1455 9,1405 7,17 7,17 65,573235 65,537385 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-09 9,1965 9,1915 7,16 7,16 65,84694 65,81114 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-10 9,1975 9,1925 7,16 7,16 65,8541 65,8183 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-13 9,2365 9,2315 7,2 7,2 66,5028 66,4668 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-14 9,2985 9,2935 7,23 7,23 67,228155 67,192005 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-15 9,2695 9,2645 7,23 7,23 67,018485 66,982335 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-16 9,2695 9,2645 7,21 7,21 66,833095 66,797045 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-17 9,2695 9,2645 7,26 7,26 67,29657 67,26027 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-20 9,2255 9,2205 7,28 7,28 67,16164 67,12524 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-21 9,2725 9,2675 7,26 7,26 67,31835 67,28205 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-22 9,2615 9,2565 7,3 7,3 67,60895 67,57245 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-27 9,3855 9,3805 7,26 7,26 68,13873 68,10243 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-28 9,3995 9,3945 7,2 7,2 67,6764 67,6404 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-29 9,4215 9,4165 7,26 7,26 68,40009 68,36379 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-06-30 9,4415 9,4365 7,3 7,3 68,92295 68,88645 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-01 9,4595 9,4545 7,26 7,26 68,67597 68,63967 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-04 9,4795 9,4745 7,29 7,29 69,105555 69,069105 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-05 9,4575 9,4525 7,33 7,33 69,323475 69,286825 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-06 9,4195 9,4145 7,32 7,32 68,95074 68,91414 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-07 9,3965 9,3915 7,37 7,37 69,252205 69,215355 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-08 9,4175 9,4125 7,25 7,25 68,276875 68,240625 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-11 9,4665 9,4615 7,37 7,37 69,768105 69,731255 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-12 9,4645 9,4595 7,4 7,4 70,0373 70,0003 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-13 9,3915 9,3865 7,37 7,37 69,215355 69,178505 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-14 9,3675 9,3625 7,41 7,41 69,413175 69,376125 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-15 9,4055 9,4005 7,44 7,44 69,97692 69,93972 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-18 9,3895 9,3845 7,42 7,42 69,67009 69,63299 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-19 9,4425 9,4375 7,41 7,41 69,968925 69,931875 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-20 9,4265 9,4215 7,47 7,47 70,415955 70,378605 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-21 9,4625 9,4575 7,46 7,46 70,59025 70,55295 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-22 9,4495 9,4445 7,46 7,46 70,49327 70,45597 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-25 9,4275 9,4225 7,47 7,47 70,423425 70,386075 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-26 9,4155 9,4105 7,5 7,5 70,61625 70,57875 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-27 9,4725 9,4675 7,52 7,52 71,2332 71,1956 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-28 9,4515 9,4465 7,54 7,54 71,26431 71,22661 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-07-29 9,3885 9,3835 7,58 7,58 71,16483 71,12693 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-01 9,3985 9,3935 7,57 7,57 71,146645 71,108795 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-02 9,3995 9,3945 7,56 7,56 71,06022 71,02242 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-03 9,3755 9,3705 7,63 7,63 71,535065 71,496915 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-04 9,3735 9,3685 7,63 7,63 71,519805 71,481655 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-05 9,3355 9,3305 7,56 7,56 70,57638 70,53858 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-08 9,3335 9,3285 7,52 7,52 70,18792 70,15032 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-09 9,3455 9,3405 7,56 7,56 70,65198 70,61418 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-10 9,3535 9,3485 7,61 7,61 71,180135 71,142085 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-11 9,3365 9,3315 7,67 7,67 71,610955 71,572605 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-12 9,3025 9,2975 7,67 7,67 71,350175 71,311825 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-16 9,2995 9,2945 7,65 7,65 71,141175 71,102925 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-17 9,3405 9,3355 7,63 7,63 71,268015 71,229865 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-18 9,3365 9,3315 7,61 7,61 71,050765 71,012715 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-19 9,3395 9,3345 7,59 7,59 70,886805 70,848855 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-22 9,3655 9,3605 7,66 7,66 71,73973 71,70143 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-23 9,3715 9,3665 7,67 7,67 71,879405 71,841055 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-24 9,3365 9,3315 7,62 7,62 71,14413 71,10603 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-25 9,3335 9,3285 7,59 7,59 70,841265 70,803315 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-26 9,3415 9,3365 7,54 7,54 70,43491 70,39721 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-29 9,3295 9,3245 7,49 7,49 69,877955 69,840505 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-30 9,3285 9,3235 7,5 7,5 69,96375 69,92625 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-08-31 9,3585 9,3535 7,51 7,51 70,282335 70,244785 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-01 9,3365 9,3315 7,57 7,57 70,677305 70,639455 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-02 9,3025 9,2975 7,61 7,61 70,792025 70,753975 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-05 9,2845 9,2795 7,59 7,59 70,469355 70,431405 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-06 9,3225 9,3175 7,64 7,64 71,2239 71,1857 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-07 9,3075 9,3025 7,69 7,69 71,574675 71,536225 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-08 9,3255 9,3205 7,7 7,7 71,80635 71,76785 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-09 9,3445 9,3395 7,69 7,69 71,859205 71,820755 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-12 9,3015 9,2965 7,71 7,71 71,714565 71,676015 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-13 9,3015 9,2965 7,73 7,73 71,900595 71,861945 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-14 9,3365 9,3315 7,68 7,68 71,70432 71,66592 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-15 9,3425 9,3375 7,71 7,71 72,030675 71,992125 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-16 9,3465 9,3415 7,72 7,72 72,15498 72,11638 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-19 9,3355 9,3305 7,76 7,76 72,44348 72,40468 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-20 9,3395 9,3345 7,78 7,78 72,66131 72,62241 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-21 9,3405 9,3355 7,79 7,79 72,762495 72,723545 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-22 9,3405 9,3355 7,71 7,71 72,015255 71,976705 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-23 9,3695 9,3645 7,68 7,68 71,95776 71,91936 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-26 9,3815 9,3765 7,72 7,72 72,42518 72,38658 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-27 9,3885 9,3835 7,8 7,8 73,2303 73,1913 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-28 9,3935 9,3885 7,77 7,77 72,987495 72,948645 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-29 9,3845 9,3795 7,84 7,84 73,57448 73,53528 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-09-30 9,3435 9,3385 7,82 7,82 73,06617 73,02707 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-03 9,3025 9,2975 7,84 7,84 72,9316 72,8924 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-04 9,3185 9,3135 7,9 7,9 73,61615 73,57665 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-05 9,3105 9,3055 7,92 7,92 73,73916 73,69956 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-06 9,3015 9,2965 7,86 7,86 73,10979 73,07049 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-07 9,3385 9,3335 7,75 7,75 72,373375 72,334625 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-10 9,3465 9,3415 7,73 7,73 72,248445 72,209795 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-11 9,3395 9,3345 7,74 7,74 72,28773 72,24903 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-12 9,3375 9,3325 7,76 7,76 72,459 72,4202 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-13 9,3815 9,3765 7,69 7,69 72,143735 72,105285 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-14 9,4135 9,4085 7,62 7,62 71,73087 71,69277 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-17 9,4575 9,4525 7,64 7,64 72,2553 72,2171 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-18 9,4625 9,4575 7,65 7,65 72,388125 72,349875 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-19 9,4605 9,4555 7,62 7,62 72,08901 72,05091 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-20 9,4935 9,4885 7,5 7,5 71,20125 71,16375 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-21 9,4915 9,4865 7,53 7,53 71,470995 71,433345 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-24 9,5455 9,5405 7,51 7,51 71,686705 71,649155 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-25 9,5465 9,5415 7,6 7,6 72,5534 72,5154 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-26 9,4975 9,4925 7,58 7,58 71,99105 71,95315 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-27 9,5355 9,5305 7,61 7,61 72,565155 72,527105 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-28 9,5135 9,5085 7,53 7,53 71,636655 71,599005 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-10-31 9,5495 9,5445 7,53 7,53 71,907735 71,870085 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-02 9,5855 9,5805 7,73 7,73 74,095915 74,057265 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-03 9,6515 9,6465 7,75 7,75 74,799125 74,760375 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-04 9,5875 9,5825 7,86 7,86 75,35775 75,31845 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-07 9,6075 9,6025 7,85 7,85 75,418875 75,379625 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-08 9,5685 9,5635 7,89 7,89 75,495465 75,456015 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-09 9,5575 9,5525 7,89 7,89 75,408675 75,369225 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-10 9,6105 9,6055 7,89 7,89 75,826845 75,787395 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-11 9,6365 9,6315 7,9 7,9 76,12835 76,08885 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-14 9,5505 9,5455 7,97 7,97 76,117485 76,077635 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-15 9,5805 9,5755 7,98 7,98 76,45239 76,41249 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-16 9,6235 9,6185 7,95 7,95 76,506825 76,467075 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-17 9,6355 9,6305 7,89 7,89 76,024095 75,984645 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-18 9,6085 9,6035 7,92 7,92 76,09932 76,05972 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-21 9,5915 9,5865 7,97 7,97 76,444255 76,404405 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-22 9,5585 9,5535 7,98 7,98 76,27683 76,23693 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-23 9,5155 9,5105 8 8 76,124 76,084 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-24 9,5125 9,5075 8,04 8,04 76,4805 76,4403 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-25 9,4965 9,4915 8,02 8,02 76,16193 76,12183 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-28 9,4835 9,4785 8,04 8,04 76,24734 76,20714 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-29 9,4785 9,4735 7,99 7,99 75,733215 75,693265 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-11-30 9,5295 9,5245 8 8 76,236 76,196 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-01 9,5165 9,5115 7,96 7,96 75,75134 75,71154 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-02 9,4905 9,4855 8,08 8,08 76,68324 76,64284 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-05 9,4065 9,4015 8,15 8,15 76,662975 76,622225 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-06 9,4185 9,4135 8,12 8,12 76,47822 76,43762 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-07 9,4255 9,4205 8,16 8,16 76,91208 76,87128 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-08 9,3965 9,3915 8,15 8,15 76,581475 76,540725 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-12 9,4315 9,4265 8,15 8,15 76,866725 76,825975 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-13 9,4295 9,4245 8,14 8,14 76,75613 76,71543 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-14 9,4365 9,4315 8,15 8,15 76,907475 76,866725 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-15 9,4345 9,4295 8,13 8,13 76,702485 76,661835 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-16 9,4765 9,4715 8,11 8,11 76,854415 76,813865 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-19 9,4535 9,4485 8,15 8,15 77,046025 77,005275 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-20 9,4015 9,3965 8,15 8,15 76,622225 76,581475 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-21 9,4485 9,4435 8,16 8,16 77,09976 77,05896 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-22 9,4365 9,4315 8,23 8,23 77,662395 77,621245 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-23 9,4425 9,4375 8,23 8,23 77,711775 77,670625 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-27 9,4915 9,4865 8,22 8,22 78,02013 77,97903 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-28 9,4345 9,4295 8,25 8,25 77,834625 77,793375 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-29 9,4115 9,4065 8,24 8,24 77,55076 77,50956 356188 Credit Agricole Asset Management S.A. CA-Funds Europe Equities EUR 2005-12-30 9,4325 9,4275 8,26 8,26 77,91245 77,87115 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-03 9,0065 9,0015 6,16 6,16 55,48004 55,44924 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-04 9,0345 9,0295 6,19 6,19 55,923555 55,892605 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-05 9,0615 9,0565 6,22 6,22 56,36253 56,33143 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-07 9,0615 9,0565 6,21 6,21 56,271915 56,240865 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-10 9,08619 9,08119 6,27 6,27 56,9704113 56,9390613 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-11 9,08619 9,08119 6,27 6,27 56,9704113 56,9390613 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-12 9,0455 9,0405 6,25 6,25 56,534375 56,503125 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-13 9,0505 9,0455 6,22 6,22 56,29411 56,26301 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-14 9,0455 9,0405 6,24 6,24 56,44392 56,41272 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-17 9,0685 9,0635 6,27 6,27 56,859495 56,828145 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-18 9,0585 9,0535 6,27 6,27 56,796795 56,765445 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-19 9,0225 9,0175 6,3 6,3 56,84175 56,81025 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-20 9,0315 9,0265 6,34 6,34 57,25971 57,22801 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-21 9,0505 9,0455 6,34 6,34 57,38017 57,34847 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-24 9,0655 9,0605 6,33 6,33 57,384615 57,352965 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-25 9,0715 9,0665 6,32 6,32 57,33188 57,30028 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-26 9,0885 9,0835 6,37 6,37 57,893745 57,861895 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-27 9,0675 9,0625 6,4 6,4 58,032 58 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-28 9,0955 9,0905 6,41 6,41 58,302155 58,270105 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-01-31 9,1075 9,1025 6,42 6,42 58,47015 58,43805 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-01 9,1035 9,0985 6,45 6,45 58,717575 58,685325 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-02 9,0905 9,0855 6,51 6,51 59,179155 59,146605 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-03 9,0695 9,0645 6,55 6,55 59,405225 59,372475 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-04 9,0895 9,0845 6,57 6,57 59,718015 59,685165 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-07 9,0755 9,0705 6,6 6,6 59,8983 59,8653 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-08 9,0895 9,0845 6,62 6,62 60,17249 60,13939 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-09 9,0695 9,0645 6,63 6,63 60,130785 60,097635 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-10 9,0805 9,0755 6,64 6,64 60,29452 60,26132 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-11 9,0935 9,0885 6,62 6,62 60,19897 60,16587 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-14 9,1105 9,1055 6,67 6,67 60,767035 60,733685 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-15 9,0765 9,0715 6,67 6,67 60,540255 60,506905 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-16 9,0705 9,0655 6,7 6,7 60,77235 60,73885 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-17 9,0925 9,0875 6,67 6,67 60,646975 60,613625 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-18 9,0945 9,0895 6,7 6,7 60,93315 60,89965 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-21 9,1185 9,1135 6,69 6,69 61,002765 60,969315 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-22 9,0975 9,0925 6,67 6,67 60,680325 60,646975 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-23 9,1045 9,0995 6,63 6,63 60,362835 60,329685 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-24 9,0715 9,0665 6,59 6,59 59,781185 59,748235 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-25 9,0845 9,0795 6,61 6,61 60,048545 60,015495 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-02-28 9,0505 9,0455 6,68 6,68 60,45734 60,42394 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-01 9,0565 9,0515 6,7 6,7 60,67855 60,64505 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-02 9,0645 9,0595 6,72 6,72 60,91344 60,87984 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-03 9,0675 9,0625 6,71 6,71 60,842925 60,809375 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-04 9,0415 9,0365 6,72 6,72 60,75888 60,72528 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-07 9,0425 9,0375 6,77 6,77 61,217725 61,183875 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-08 9,0345 9,0295 6,79 6,79 61,344255 61,310305 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-09 9,0365 9,0315 6,77 6,77 61,177105 61,143255 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-10 9,0655 9,0605 6,76 6,76 61,28278 61,24898 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-11 9,0795 9,0745 6,7 6,7 60,83265 60,79915 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-14 9,0695 9,0645 6,73 6,73 61,037735 61,004085 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-15 9,1035 9,0985 6,72 6,72 61,17552 61,14192 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-16 9,0975 9,0925 6,75 6,75 61,408125 61,374375 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-17 9,1045 9,0995 6,7 6,7 61,00015 60,96665 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-18 9,1035 9,0985 6,68 6,68 60,81138 60,77798 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-21 9,1265 9,1215 6,72 6,72 61,33008 61,29648 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-22 9,1265 9,1215 6,71 6,71 61,238815 61,205265 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-23 9,1165 9,1115 6,7 6,7 61,08055 61,04705 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-24 9,1135 9,1085 6,63 6,63 60,422505 60,389355 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-29 9,1315 9,1265 6,66 6,66 60,81579 60,78249 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-30 9,1425 9,1375 6,65 6,65 60,797625 60,764375 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-03-31 9,1405 9,1355 6,64 6,64 60,69292 60,65972 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-01 9,1645 9,1595 6,69 6,69 61,310505 61,277055 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-04 9,1695 9,1645 6,75 6,75 61,894125 61,860375 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-05 9,1745 9,1695 6,74 6,74 61,83613 61,80243 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-06 9,1705 9,1655 6,78 6,78 62,17599 62,14209 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-07 9,1505 9,1455 6,81 6,81 62,314905 62,280855 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-08 9,1625 9,1575 6,83 6,83 62,579875 62,545725 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-11 9,1705 9,1655 6,85 6,85 62,817925 62,783675 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-12 9,1525 9,1475 6,84 6,84 62,6031 62,5689 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-13 9,1495 9,1445 6,85 6,85 62,674075 62,639825 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-14 9,1685 9,1635 6,88 6,88 63,07928 63,04488 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-15 9,1925 9,1875 6,84 6,84 62,8767 62,8425 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-18 9,1805 9,1755 6,75 6,75 61,968375 61,934625 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-19 9,2035 9,1985 6,59 6,59 60,651065 60,618115 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-20 9,1915 9,1865 6,65 6,65 61,123475 61,090225 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-21 9,1855 9,1805 6,67 6,67 61,267285 61,233935 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-22 9,1625 9,1575 6,65 6,65 60,930625 60,897375 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-25 9,1685 9,1635 6,68 6,68 61,24558 61,21218 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-26 9,1375 9,1325 6,69 6,69 61,129875 61,096425 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-27 9,1465 9,1415 6,65 6,65 60,824225 60,790975 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-28 9,1505 9,1455 6,54 6,54 59,84427 59,81157 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-04-29 9,1705 9,1655 6,49 6,49 59,516545 59,484095 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-02 9,1935 9,1885 6,49 6,49 59,665815 59,633365 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-03 9,2245 9,2195 6,53 6,53 60,235985 60,203335 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-04 9,1915 9,1865 6,53 6,53 60,020495 59,987845 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-06 9,1715 9,1665 6,54 6,54 59,98161 59,94891 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-09 9,1815 9,1765 6,53 6,53 59,955195 59,922545 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-10 9,1985 9,1935 6,55 6,55 60,250175 60,217425 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-11 9,2105 9,2055 6,52 6,52 60,05246 60,01986 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-12 9,2315 9,2265 6,52 6,52 60,18938 60,15678 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-13 9,2045 9,1995 6,55 6,55 60,289475 60,256725 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-17 9,2325 9,2275 6,54 6,54 60,38055 60,34785 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-18 9,2095 9,2045 6,53 6,53 60,138035 60,105385 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-19 9,1905 9,1855 6,58 6,58 60,47349 60,44059 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-20 9,1955 9,1905 6,62 6,62 60,87421 60,84111 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-24 9,1815 9,1765 6,65 6,65 61,056975 61,023725 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-25 9,1785 9,1735 6,68 6,68 61,31238 61,27898 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-26 9,1945 9,1895 6,7 6,7 61,60315 61,56965 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-27 9,1955 9,1905 6,75 6,75 62,069625 62,035875 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-30 9,1905 9,1855 6,76 6,76 62,12778 62,09398 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-05-31 9,1665 9,1615 6,78 6,78 62,14887 62,11497 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-01 9,1455 9,1405 6,81 6,81 62,280855 62,246805 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-02 9,1565 9,1515 6,86 6,86 62,81359 62,77929 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-03 9,1315 9,1265 6,85 6,85 62,550775 62,516525 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-07 9,1455 9,1405 6,87 6,87 62,829585 62,795235 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-08 9,1455 9,1405 6,93 6,93 63,378315 63,343665 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-09 9,1965 9,1915 6,94 6,94 63,82371 63,78901 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-10 9,1975 9,1925 6,93 6,93 63,738675 63,704025 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-13 9,2365 9,2315 6,98 6,98 64,47077 64,43587 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-14 9,2985 9,2935 7,01 7,01 65,182485 65,147435 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-15 9,2695 9,2645 7 7 64,8865 64,8515 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-16 9,2695 9,2645 7,01 7,01 64,979195 64,944145 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-17 9,2695 9,2645 7,05 7,05 65,349975 65,314725 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-20 9,2255 9,2205 7,08 7,08 65,31654 65,28114 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-21 9,2725 9,2675 7,1 7,1 65,83475 65,79925 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-22 9,2615 9,2565 7,12 7,12 65,94188 65,90628 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-27 9,3855 9,3805 7,14 7,14 67,01247 66,97677 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-28 9,3995 9,3945 7,08 7,08 66,54846 66,51306 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-29 9,4215 9,4165 7,13 7,13 67,175295 67,139645 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-06-30 9,4415 9,4365 7,15 7,15 67,506725 67,470975 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-01 9,4595 9,4545 7,15 7,15 67,635425 67,599675 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-04 9,4795 9,4745 7,19 7,19 68,157605 68,121655 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-05 9,4575 9,4525 7,21 7,21 68,188575 68,152525 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-06 9,4195 9,4145 7,2 7,2 67,8204 67,7844 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-07 9,3965 9,3915 7,24 7,24 68,03066 67,99446 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-08 9,4175 9,4125 7,15 7,15 67,335125 67,299375 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-11 9,4665 9,4615 7,25 7,25 68,632125 68,595875 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-12 9,4645 9,4595 7,28 7,28 68,90156 68,86516 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-13 9,3915 9,3865 7,26 7,26 68,18229 68,14599 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-14 9,3675 9,3625 7,28 7,28 68,1954 68,159 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-15 9,4055 9,4005 7,29 7,29 68,566095 68,529645 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-18 9,3895 9,3845 7,26 7,26 68,16777 68,13147 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-19 9,4425 9,4375 7,26 7,26 68,55255 68,51625 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-20 9,4265 9,4215 7,29 7,29 68,719185 68,682735 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-21 9,4625 9,4575 7,29 7,29 68,981625 68,945175 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-22 9,4495 9,4445 7,31 7,31 69,075845 69,039295 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-25 9,4275 9,4225 7,33 7,33 69,103575 69,066925 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-26 9,4155 9,4105 7,33 7,33 69,015615 68,978965 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-27 9,4725 9,4675 7,36 7,36 69,7176 69,6808 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-28 9,4515 9,4465 7,41 7,41 70,035615 69,998565 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-07-29 9,3885 9,3835 7,45 7,45 69,944325 69,907075 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-01 9,3985 9,3935 7,47 7,47 70,206795 70,169445 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-02 9,3995 9,3945 7,49 7,49 70,402255 70,364805 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-03 9,3755 9,3705 7,53 7,53 70,597515 70,559865 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-04 9,3735 9,3685 7,54 7,54 70,67619 70,63849 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-05 9,3355 9,3305 7,53 7,53 70,296315 70,258665 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-08 9,3335 9,3285 7,54 7,54 70,37459 70,33689 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-09 9,3455 9,3405 7,55 7,55 70,558525 70,520775 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-10 9,3535 9,3485 7,56 7,56 70,71246 70,67466 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-11 9,3365 9,3315 7,6 7,6 70,9574 70,9194 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-12 9,3025 9,2975 7,57 7,57 70,419925 70,382075 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-16 9,2995 9,2945 7,57 7,57 70,397215 70,359365 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-17 9,3405 9,3355 7,57 7,57 70,707585 70,669735 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-18 9,3365 9,3315 7,52 7,52 70,21048 70,17288 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-19 9,3395 9,3345 7,51 7,51 70,139645 70,102095 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-22 9,3655 9,3605 7,53 7,53 70,522215 70,484565 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-23 9,3715 9,3665 7,56 7,56 70,84854 70,81074 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-24 9,3365 9,3315 7,56 7,56 70,58394 70,54614 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-25 9,3335 9,3285 7,53 7,53 70,281255 70,243605 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-26 9,3415 9,3365 7,51 7,51 70,154665 70,117115 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-29 9,3295 9,3245 7,53 7,53 70,251135 70,213485 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-30 9,3285 9,3235 7,52 7,52 70,15032 70,11272 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-08-31 9,3585 9,3535 7,53 7,53 70,469505 70,431855 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-01 9,3365 9,3315 7,59 7,59 70,864035 70,826085 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-02 9,3025 9,2975 7,66 7,66 71,25715 71,21885 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-05 9,2845 9,2795 7,67 7,67 71,212115 71,173765 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-06 9,3225 9,3175 7,67 7,67 71,503575 71,465225 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-07 9,3075 9,3025 7,71 7,71 71,760825 71,722275 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-08 9,3255 9,3205 7,74 7,74 72,17937 72,14067 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-09 9,3445 9,3395 7,73 7,73 72,232985 72,194335 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-12 9,3015 9,2965 7,75 7,75 72,086625 72,047875 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-13 9,3015 9,2965 7,81 7,81 72,644715 72,605665 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-14 9,3365 9,3315 7,75 7,75 72,357875 72,319125 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-15 9,3425 9,3375 7,77 7,77 72,591225 72,552375 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-16 9,3465 9,3415 7,79 7,79 72,809235 72,770285 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-19 9,3355 9,3305 7,84 7,84 73,19032 73,15112 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-20 9,3395 9,3345 7,88 7,88 73,59526 73,55586 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-21 9,3405 9,3355 7,9 7,9 73,78995 73,75045 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-22 9,3405 9,3355 7,85 7,85 73,322925 73,283675 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-23 9,3695 9,3645 7,83 7,83 73,363185 73,324035 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-26 9,3815 9,3765 7,84 7,84 73,55096 73,51176 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-27 9,3885 9,3835 7,86 7,86 73,79361 73,75431 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-28 9,3935 9,3885 7,86 7,86 73,83291 73,79361 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-29 9,3845 9,3795 7,91 7,91 74,231395 74,191845 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-09-30 9,3435 9,3385 7,93 7,93 74,093955 74,054305 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-03 9,3025 9,2975 7,98 7,98 74,23395 74,19405 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-04 9,3185 9,3135 8,02 8,02 74,73437 74,69427 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-05 9,3105 9,3055 8,03 8,03 74,763315 74,723165 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-06 9,3015 9,2965 7,97 7,97 74,132955 74,093105 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-07 9,3385 9,3335 7,83 7,83 73,120455 73,081305 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-10 9,3465 9,3415 7,79 7,79 72,809235 72,770285 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-11 9,3395 9,3345 7,8 7,8 72,8481 72,8091 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-12 9,3375 9,3325 7,78 7,78 72,64575 72,60685 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-13 9,3815 9,3765 7,73 7,73 72,518995 72,480345 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-14 9,4135 9,4085 7,57 7,57 71,260195 71,222345 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-17 9,4575 9,4525 7,51 7,51 71,025825 70,988275 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-18 9,4625 9,4575 7,53 7,53 71,252625 71,214975 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-19 9,4605 9,4555 7,5 7,5 70,95375 70,91625 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-20 9,4935 9,4885 7,31 7,31 69,397485 69,360935 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-21 9,4915 9,4865 7,35 7,35 69,762525 69,725775 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-24 9,5455 9,5405 7,29 7,29 69,586695 69,550245 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-25 9,5465 9,5415 7,41 7,41 70,739565 70,702515 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-26 9,4975 9,4925 7,42 7,42 70,47145 70,43435 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-27 9,5355 9,5305 7,47 7,47 71,230185 71,192835 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-28 9,5135 9,5085 7,35 7,35 69,924225 69,887475 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-10-31 9,5495 9,5445 7,35 7,35 70,188825 70,152075 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-02 9,5855 9,5805 7,51 7,51 71,987105 71,949555 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-03 9,6515 9,6465 7,56 7,56 72,96534 72,92754 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-04 9,5875 9,5825 7,65 7,65 73,344375 73,306125 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-07 9,6075 9,6025 7,66 7,66 73,59345 73,55515 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-08 9,5685 9,5635 7,67 7,67 73,390395 73,352045 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-09 9,5575 9,5525 7,67 7,67 73,306025 73,267675 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-10 9,6105 9,6055 7,66 7,66 73,61643 73,57813 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-11 9,6365 9,6315 7,66 7,66 73,81559 73,77729 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-14 9,5505 9,5455 7,68 7,68 73,34784 73,30944 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-15 9,5805 9,5755 7,73 7,73 74,057265 74,018615 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-16 9,6235 9,6185 7,7 7,7 74,10095 74,06245 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-17 9,6355 9,6305 7,66 7,66 73,80793 73,76963 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-18 9,6085 9,6035 7,7 7,7 73,98545 73,94695 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-21 9,5915 9,5865 7,53 7,53 72,223995 72,186345 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-22 9,5585 9,5535 7,75 7,75 74,078375 74,039625 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-23 9,5155 9,5105 7,8 7,8 74,2209 74,1819 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-24 9,5125 9,5075 7,86 7,86 74,76825 74,72895 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-25 9,4965 9,4915 7,83 7,83 74,357595 74,318445 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-28 9,4835 9,4785 7,85 7,85 74,445475 74,406225 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-29 9,4785 9,4735 7,82 7,82 74,12187 74,08277 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-11-30 9,5295 9,5245 7,82 7,82 74,52069 74,48159 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-01 9,5165 9,5115 7,84 7,84 74,60936 74,57016 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-02 9,4905 9,4855 7,9 7,9 74,97495 74,93545 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-05 9,4065 9,4015 8 8 75,252 75,212 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-06 9,4185 9,4135 8 8 75,348 75,308 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-07 9,4255 9,4205 8,02 8,02 75,59251 75,55241 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-08 9,3965 9,3915 8,05 8,05 75,641825 75,601575 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-12 9,4315 9,4265 8,06 8,06 76,01789 75,97759 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-13 9,4295 9,4245 8,08 8,08 76,19036 76,14996 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-14 9,4365 9,4315 8,09 8,09 76,341285 76,300835 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-15 9,4345 9,4295 8,08 8,08 76,23076 76,19036 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-16 9,4765 9,4715 8,08 8,08 76,57012 76,52972 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-19 9,4535 9,4485 8,1 8,1 76,57335 76,53285 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-20 9,4015 9,3965 8,1 8,1 76,15215 76,11165 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-21 9,4485 9,4435 8,12 8,12 76,72182 76,68122 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-22 9,4365 9,4315 8,15 8,15 76,907475 76,866725 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-23 9,4425 9,4375 8,17 8,17 77,145225 77,104375 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-27 9,4915 9,4865 8,21 8,21 77,925215 77,884165 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-28 9,4345 9,4295 8,22 8,22 77,55159 77,51049 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-29 9,4115 9,4065 8,21 8,21 77,268415 77,227365 994517 Credit Agricole Asset Management S.A. CA-Funds Europe Smaller Companies EUR 2005-12-30 9,4325 9,4275 8,25 8,25 77,818125 77,776875 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-03 9,0065 9,0015 6,27 6,27 56,470755 56,439405 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-04 9,0345 9,0295 6,32 6,32 57,09804 57,06644 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-05 9,0615 9,0565 6,35 6,35 57,540525 57,508775 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-07 9,0615 9,0565 6,35 6,35 57,540525 57,508775 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-10 9,08619 9,08119 6,37 6,37 57,8790303 57,8471803 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-11 9,08619 9,08119 6,38 6,38 57,9698922 57,9379922 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-12 9,0455 9,0405 6,33 6,33 57,258015 57,226365 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-13 9,0505 9,0455 6,29 6,29 56,927645 56,896195 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-14 9,0455 9,0405 6,3 6,3 56,98665 56,95515 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-17 9,0685 9,0635 6,32 6,32 57,31292 57,28132 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-18 9,0585 9,0535 6,36 6,36 57,61206 57,58026 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-19 9,0225 9,0175 6,35 6,35 57,292875 57,261125 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-20 9,0315 9,0265 6,34 6,34 57,25971 57,22801 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-21 9,0505 9,0455 6,3 6,3 57,01815 56,98665 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-24 9,0655 9,0605 6,31 6,31 57,203305 57,171755 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-25 9,0715 9,0665 6,3 6,3 57,15045 57,11895 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-26 9,0885 9,0835 6,36 6,36 57,80286 57,77106 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-27 9,0675 9,0625 6,36 6,36 57,6693 57,6375 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-28 9,0955 9,0905 6,38 6,38 58,02929 57,99739 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-01-31 9,1075 9,1025 6,36 6,36 57,9237 57,8919 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-01 9,1035 9,0985 6,42 6,42 58,44447 58,41237 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-02 9,0905 9,0855 6,46 6,46 58,72463 58,69233 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-03 9,0695 9,0645 6,49 6,49 58,861055 58,828605 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-04 9,0895 9,0845 6,47 6,47 58,809065 58,776715 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-07 9,0755 9,0705 6,52 6,52 59,17226 59,13966 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-08 9,0895 9,0845 6,57 6,57 59,718015 59,685165 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-09 9,0695 9,0645 6,6 6,6 59,8587 59,8257 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-10 9,0805 9,0755 6,59 6,59 59,840495 59,807545 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-11 9,0935 9,0885 6,57 6,57 59,744295 59,711445 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-14 9,1105 9,1055 6,62 6,62 60,31151 60,27841 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-15 9,0765 9,0715 6,63 6,63 60,177195 60,144045 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-16 9,0705 9,0655 6,66 6,66 60,40953 60,37623 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-17 9,0925 9,0875 6,64 6,64 60,3742 60,341 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-18 9,0945 9,0895 6,63 6,63 60,296535 60,263385 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-21 9,1185 9,1135 6,64 6,64 60,54684 60,51364 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-22 9,0975 9,0925 6,62 6,62 60,22545 60,19235 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-23 9,1045 9,0995 6,58 6,58 59,90761 59,87471 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-24 9,0715 9,0665 6,54 6,54 59,32761 59,29491 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-25 9,0845 9,0795 6,56 6,56 59,59432 59,56152 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-02-28 9,0505 9,0455 6,64 6,64 60,09532 60,06212 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-01 9,0565 9,0515 6,64 6,64 60,13516 60,10196 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-02 9,0645 9,0595 6,67 6,67 60,460215 60,426865 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-03 9,0675 9,0625 6,67 6,67 60,480225 60,446875 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-04 9,0415 9,0365 6,66 6,66 60,21639 60,18309 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-07 9,0425 9,0375 6,7 6,7 60,58475 60,55125 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-08 9,0345 9,0295 6,73 6,73 60,802185 60,768535 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-09 9,0365 9,0315 6,7 6,7 60,54455 60,51105 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-10 9,0655 9,0605 6,68 6,68 60,55754 60,52414 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-11 9,0795 9,0745 6,62 6,62 60,10629 60,07319 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-14 9,0695 9,0645 6,64 6,64 60,22148 60,18828 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-15 9,1035 9,0985 6,63 6,63 60,356205 60,323055 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-16 9,0975 9,0925 6,66 6,66 60,58935 60,55605 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-17 9,1045 9,0995 6,56 6,56 59,72552 59,69272 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-18 9,1035 9,0985 6,55 6,55 59,627925 59,595175 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-21 9,1265 9,1215 6,57 6,57 59,961105 59,928255 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-22 9,1265 9,1215 6,55 6,55 59,778575 59,745825 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-23 9,1165 9,1115 6,59 6,59 60,077735 60,044785 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-24 9,1135 9,1085 6,56 6,56 59,78456 59,75176 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-29 9,1315 9,1265 6,61 6,61 60,359215 60,326165 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-30 9,1425 9,1375 6,61 6,61 60,431925 60,398875 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-03-31 9,1405 9,1355 6,58 6,58 60,14449 60,11159 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-01 9,1645 9,1595 6,59 6,59 60,394055 60,361105 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-04 9,1695 9,1645 6,62 6,62 60,70209 60,66899 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-05 9,1745 9,1695 6,58 6,58 60,36821 60,33531 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-06 9,1705 9,1655 6,62 6,62 60,70871 60,67561 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-07 9,1505 9,1455 6,64 6,64 60,75932 60,72612 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-08 9,1625 9,1575 6,67 6,67 61,113875 61,080525 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-11 9,1705 9,1655 6,69 6,69 61,350645 61,317195 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-12 9,1525 9,1475 6,68 6,68 61,1387 61,1053 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-13 9,1495 9,1445 6,65 6,65 60,844175 60,810925 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-14 9,1685 9,1635 6,69 6,69 61,337265 61,303815 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-15 9,1925 9,1875 6,67 6,67 61,313975 61,280625 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-18 9,1805 9,1755 6,54 6,54 60,04047 60,00777 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-19 9,2035 9,1985 6,4 6,4 58,9024 58,8704 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-20 9,1915 9,1865 6,41 6,41 58,917515 58,885465 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-21 9,1855 9,1805 6,38 6,38 58,60349 58,57159 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-22 9,1625 9,1575 6,4 6,4 58,64 58,608 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-25 9,1685 9,1635 6,44 6,44 59,04514 59,01294 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-26 9,1375 9,1325 6,46 6,46 59,02825 58,99595 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-27 9,1465 9,1415 6,44 6,44 58,90346 58,87126 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-28 9,1505 9,1455 6,34 6,34 58,01417 57,98247 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-04-29 9,1705 9,1655 6,3 6,3 57,77415 57,74265 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-02 9,1935 9,1885 6,3 6,3 57,91905 57,88755 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-03 9,2245 9,2195 6,35 6,35 58,575575 58,543825 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-04 9,1915 9,1865 6,38 6,38 58,64177 58,60987 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-06 9,1715 9,1665 6,46 6,46 59,24789 59,21559 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-09 9,1815 9,1765 6,48 6,48 59,49612 59,46372 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-10 9,1985 9,1935 6,46 6,46 59,42231 59,39001 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-11 9,2105 9,2055 6,43 6,43 59,223515 59,191365 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-12 9,2315 9,2265 6,42 6,42 59,26623 59,23413 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-13 9,2045 9,1995 6,47 6,47 59,553115 59,520765 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-17 9,2325 9,2275 6,48 6,48 59,8266 59,7942 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-18 9,2095 9,2045 6,47 6,47 59,585465 59,553115 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-19 9,1905 9,1855 6,56 6,56 60,28968 60,25688 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-20 9,1955 9,1905 6,6 6,6 60,6903 60,6573 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-24 9,1815 9,1765 6,64 6,64 60,96516 60,93196 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-25 9,1785 9,1735 6,63 6,63 60,853455 60,820305 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-26 9,1945 9,1895 6,63 6,63 60,959535 60,926385 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-27 9,1955 9,1905 6,69 6,69 61,517895 61,484445 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-30 9,1905 9,1855 6,7 6,7 61,57635 61,54285 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-05-31 9,1665 9,1615 6,73 6,73 61,690545 61,656895 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-01 9,1455 9,1405 6,71 6,71 61,366305 61,332755 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-02 9,1565 9,1515 6,79 6,79 62,172635 62,138685 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-03 9,1315 9,1265 6,81 6,81 62,185515 62,151465 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-07 9,1455 9,1405 6,76 6,76 61,82358 61,78978 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-08 9,1455 9,1405 6,83 6,83 62,463765 62,429615 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-09 9,1965 9,1915 6,82 6,82 62,72013 62,68603 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-10 9,1975 9,1925 6,82 6,82 62,72695 62,69285 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-13 9,2365 9,2315 6,86 6,86 63,36239 63,32809 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-14 9,2985 9,2935 6,89 6,89 64,066665 64,032215 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-15 9,2695 9,2645 6,9 6,9 63,95955 63,92505 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-16 9,2695 9,2645 6,87 6,87 63,681465 63,647115 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-17 9,2695 9,2645 6,9 6,9 63,95955 63,92505 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-20 9,2255 9,2205 6,93 6,93 63,932715 63,898065 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-21 9,2725 9,2675 6,9 6,9 63,98025 63,94575 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-22 9,2615 9,2565 6,93 6,93 64,182195 64,147545 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-27 9,3855 9,3805 6,89 6,89 64,666095 64,631645 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-28 9,3995 9,3945 6,82 6,82 64,10459 64,07049 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-29 9,4215 9,4165 6,88 6,88 64,81992 64,78552 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-06-30 9,4415 9,4365 6,93 6,93 65,429595 65,394945 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-01 9,4595 9,4545 6,94 6,94 65,64893 65,61423 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-04 9,4795 9,4745 6,98 6,98 66,16691 66,13201 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-05 9,4575 9,4525 6,99 6,99 66,107925 66,072975 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-06 9,4195 9,4145 6,99 6,99 65,842305 65,807355 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-07 9,3965 9,3915 7,02 7,02 65,96343 65,92833 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-08 9,4175 9,4125 6,92 6,92 65,1691 65,1345 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-11 9,4665 9,4615 7,03 7,03 66,549495 66,514345 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-12 9,4645 9,4595 7,1 7,1 67,19795 67,16245 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-13 9,3915 9,3865 7,09 7,09 66,585735 66,550285 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-14 9,3675 9,3625 7,13 7,13 66,790275 66,754625 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-15 9,4055 9,4005 7,16 7,16 67,34338 67,30758 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-18 9,3895 9,3845 7,15 7,15 67,134925 67,099175 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-19 9,4425 9,4375 7,15 7,15 67,513875 67,478125 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-20 9,4265 9,4215 7,23 7,23 68,153595 68,117445 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-21 9,4625 9,4575 7,22 7,22 68,31925 68,28315 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-22 9,4495 9,4445 7,22 7,22 68,22539 68,18929 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-25 9,4275 9,4225 7,21 7,21 67,972275 67,936225 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-26 9,4155 9,4105 7,22 7,22 67,97991 67,94381 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-27 9,4725 9,4675 7,23 7,23 68,486175 68,450025 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-28 9,4515 9,4465 7,26 7,26 68,61789 68,58159 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-07-29 9,3885 9,3835 7,3 7,3 68,53605 68,49955 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-01 9,3985 9,3935 7,3 7,3 68,60905 68,57255 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-02 9,3995 9,3945 7,3 7,3 68,61635 68,57985 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-03 9,3755 9,3705 7,36 7,36 69,00368 68,96688 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-04 9,3735 9,3685 7,36 7,36 68,98896 68,95216 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-05 9,3355 9,3305 7,3 7,3 68,14915 68,11265 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-08 9,3335 9,3285 7,24 7,24 67,57454 67,53834 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-09 9,3455 9,3405 7,27 7,27 67,941785 67,905435 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-10 9,3535 9,3485 7,34 7,34 68,65469 68,61799 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-11 9,3365 9,3315 7,41 7,41 69,183465 69,146415 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-12 9,3025 9,2975 7,38 7,38 68,65245 68,61555 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-16 9,2995 9,2945 7,34 7,34 68,25833 68,22163 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-17 9,3405 9,3355 7,31 7,31 68,279055 68,242505 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-18 9,3365 9,3315 7,29 7,29 68,063085 68,026635 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-19 9,3395 9,3345 7,25 7,25 67,711375 67,675125 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-22 9,3655 9,3605 7,33 7,33 68,649115 68,612465 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-23 9,3715 9,3665 7,35 7,35 68,880525 68,843775 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-24 9,3365 9,3315 7,3 7,3 68,15645 68,11995 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-25 9,3335 9,3285 7,28 7,28 67,94788 67,91148 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-26 9,3415 9,3365 7,22 7,22 67,44563 67,40953 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-29 9,3295 9,3245 7,16 7,16 66,79922 66,76342 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-30 9,3285 9,3235 7,19 7,19 67,071915 67,035965 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-08-31 9,3585 9,3535 7,18 7,18 67,19403 67,15813 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-01 9,3365 9,3315 7,24 7,24 67,59626 67,56006 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-02 9,3025 9,2975 7,28 7,28 67,7222 67,6858 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-05 9,2845 9,2795 7,27 7,27 67,498315 67,461965 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-06 9,3225 9,3175 7,32 7,32 68,2407 68,2041 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-07 9,3075 9,3025 7,39 7,39 68,782425 68,745475 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-08 9,3255 9,3205 7,43 7,43 69,288465 69,251315 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-09 9,3445 9,3395 7,42 7,42 69,33619 69,29909 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-12 9,3015 9,2965 7,44 7,44 69,20316 69,16596 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-13 9,3015 9,2965 7,44 7,44 69,20316 69,16596 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-14 9,3365 9,3315 7,38 7,38 68,90337 68,86647 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-15 9,3425 9,3375 7,41 7,41 69,227925 69,190875 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-16 9,3465 9,3415 7,43 7,43 69,444495 69,407345 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-19 9,3355 9,3305 7,48 7,48 69,82954 69,79214 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-20 9,3395 9,3345 7,47 7,47 69,766065 69,728715 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-21 9,3405 9,3355 7,51 7,51 70,147155 70,109605 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-22 9,3405 9,3355 7,43 7,43 69,399915 69,362765 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-23 9,3695 9,3645 7,4 7,4 69,3343 69,2973 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-26 9,3815 9,3765 7,44 7,44 69,79836 69,76116 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-27 9,3885 9,3835 7,56 7,56 70,97706 70,93926 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-28 9,3935 9,3885 7,53 7,53 70,733055 70,695405 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-29 9,3845 9,3795 7,62 7,62 71,50989 71,47179 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-09-30 9,3435 9,3385 7,6 7,6 71,0106 70,9726 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-03 9,3025 9,2975 7,64 7,64 71,0711 71,0329 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-04 9,3185 9,3135 7,68 7,68 71,56608 71,52768 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-05 9,3105 9,3055 7,72 7,72 71,87706 71,83846 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-06 9,3015 9,2965 7,63 7,63 70,970445 70,932295 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-07 9,3385 9,3335 7,54 7,54 70,41229 70,37459 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-10 9,3465 9,3415 7,52 7,52 70,28568 70,24808 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-11 9,3395 9,3345 7,54 7,54 70,41983 70,38213 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-12 9,3375 9,3325 7,55 7,55 70,498125 70,460375 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-13 9,3815 9,3765 7,49 7,49 70,267435 70,229985 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-14 9,4135 9,4085 7,4 7,4 69,6599 69,6229 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-17 9,4575 9,4525 7,42 7,42 70,17465 70,13755 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-18 9,4625 9,4575 7,43 7,43 70,306375 70,269225 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-19 9,4605 9,4555 7,39 7,39 69,913095 69,876145 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-20 9,4935 9,4885 7,24 7,24 68,73294 68,69674 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-21 9,4915 9,4865 7,25 7,25 68,813375 68,777125 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-24 9,5455 9,5405 7,21 7,21 68,823055 68,787005 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-25 9,5465 9,5415 7,29 7,29 69,593985 69,557535 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-26 9,4975 9,4925 7,29 7,29 69,236775 69,200325 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-27 9,5355 9,5305 7,31 7,31 69,704505 69,667955 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-28 9,5135 9,5085 7,19 7,19 68,402065 68,366115 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-10-31 9,5495 9,5445 7,18 7,18 68,56541 68,52951 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-02 9,5855 9,5805 7,35 7,35 70,453425 70,416675 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-03 9,6515 9,6465 7,38 7,38 71,22807 71,19117 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-04 9,5875 9,5825 7,47 7,47 71,618625 71,581275 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-07 9,6075 9,6025 7,47 7,47 71,768025 71,730675 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-08 9,5685 9,5635 7,49 7,49 71,668065 71,630615 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-09 9,5575 9,5525 7,49 7,49 71,585675 71,548225 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-10 9,6105 9,6055 7,47 7,47 71,790435 71,753085 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-11 9,6365 9,6315 7,46 7,46 71,88829 71,85099 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-14 9,5505 9,5455 7,54 7,54 72,01077 71,97307 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-15 9,5805 9,5755 7,56 7,56 72,42858 72,39078 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-16 9,6235 9,6185 7,55 7,55 72,657425 72,619675 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-17 9,6355 9,6305 7,5 7,5 72,26625 72,22875 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-18 9,6085 9,6035 7,53 7,53 72,352005 72,314355 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-21 9,5915 9,5865 7,57 7,57 72,607655 72,569805 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-22 9,5585 9,5535 7,61 7,61 72,740185 72,702135 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-23 9,5155 9,5105 7,62 7,62 72,50811 72,47001 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-24 9,5125 9,5075 7,67 7,67 72,960875 72,922525 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-25 9,4965 9,4915 7,65 7,65 72,648225 72,609975 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-28 9,4835 9,4785 7,67 7,67 72,738445 72,700095 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-29 9,4785 9,4735 7,65 7,65 72,510525 72,472275 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-11-30 9,5295 9,5245 7,67 7,67 73,091265 73,052915 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-01 9,5165 9,5115 7,64 7,64 72,70606 72,66786 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-02 9,4905 9,4855 7,75 7,75 73,551375 73,512625 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-05 9,4065 9,4015 7,79 7,79 73,276635 73,237685 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-06 9,4185 9,4135 7,77 7,77 73,181745 73,142895 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-07 9,4255 9,4205 7,81 7,81 73,613155 73,574105 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-08 9,3965 9,3915 7,8 7,8 73,2927 73,2537 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-12 9,4315 9,4265 7,8 7,8 73,5657 73,5267 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-13 9,4295 9,4245 7,82 7,82 73,73869 73,69959 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-14 9,4365 9,4315 7,82 7,82 73,79343 73,75433 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-15 9,4345 9,4295 7,8 7,8 73,5891 73,5501 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-16 9,4765 9,4715 7,8 7,8 73,9167 73,8777 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-19 9,4535 9,4485 7,85 7,85 74,209975 74,170725 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-20 9,4015 9,3965 7,85 7,85 73,801775 73,762525 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-21 9,4485 9,4435 7,85 7,85 74,170725 74,131475 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-22 9,4365 9,4315 7,91 7,91 74,642715 74,603165 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-23 9,4425 9,4375 7,92 7,92 74,7846 74,745 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-27 9,4915 9,4865 7,93 7,93 75,267595 75,227945 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-28 9,4345 9,4295 7,96 7,96 75,09862 75,05882 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-29 9,4115 9,4065 7,94 7,94 74,72731 74,68761 958686 Credit Agricole Asset Management S.A. CA-Funds Eurostocks EUR 2005-12-30 9,4325 9,4275 7,96 7,96 75,0827 75,0429 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-03 6,668 6,658 7,37 7,37 49,14316 49,06946 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-04 6,728 6,718 7,33 7,33 49,31624 49,24294 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-05 6,828 6,818 7,23 7,23 49,36644 49,29414 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-07 6,87 6,86 7,16 7,16 49,1892 49,1176 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-10 6,96091 6,95091 7,17 7,17 49,9097247 49,8380247 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-11 6,96091 6,95091 7,19 7,19 50,0489429 49,9770429 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-12 6,913 6,903 7,16 7,16 49,49708 49,42548 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-13 6,843 6,833 7,14 7,14 48,85902 48,78762 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-14 6,915 6,905 7,16 7,16 49,5114 49,4398 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-17 6,915 6,905 7,17 7,17 49,58055 49,50885 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-18 6,968 6,958 7,18 7,18 50,03024 49,95844 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-19 6,91 6,9 7,21 7,21 49,8211 49,749 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-20 6,96 6,95 7,18 7,18 49,9728 49,901 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-21 6,978 6,968 7,1 7,1 49,5438 49,4728 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-24 6,933 6,923 7,1 7,1 49,2243 49,1533 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-25 6,95 6,94 7,11 7,11 49,4145 49,3434 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-26 6,995 6,985 7,13 7,13 49,87435 49,80305 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-27 6,93 6,92 7,15 7,15 49,5495 49,478 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-28 6,985 6,975 7,16 7,16 50,0126 49,941 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-01-31 6,998 6,988 7,14 7,14 49,96572 49,89432 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-01 6,993 6,983 7,19 7,19 50,27967 50,20777 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-02 6,953 6,943 7,21 7,21 50,13113 50,05903 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-03 6,968 6,958 7,23 7,23 50,37864 50,30634 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-04 7,01 7 7,19 7,19 50,4019 50,33 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-07 7,065 7,055 7,25 7,25 51,22125 51,14875 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-08 7,123 7,113 7,23 7,23 51,49929 51,42699 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-09 7,1 7,09 7,22 7,22 51,262 51,1898 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-10 7,088 7,078 7,2 7,2 51,0336 50,9616 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-11 7,068 7,058 7,22 7,22 51,03096 50,95876 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-14 7,03 7,02 7,31 7,31 51,3893 51,3162 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-15 7,005 6,995 7,33 7,33 51,34665 51,27335 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-16 6,973 6,963 7,36 7,36 51,32128 51,24768 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-17 6,97 6,96 7,35 7,35 51,2295 51,156 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-18 6,965 6,955 7,33 7,33 51,05345 50,98015 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-21 6,978 6,968 7,35 7,35 51,2883 51,2148 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-22 6,905 6,895 7,35 7,35 50,75175 50,67825 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-23 6,895 6,885 7,3 7,3 50,3335 50,2605 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-24 6,858 6,848 7,33 7,33 50,26914 50,19584 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-25 6,885 6,875 7,37 7,37 50,74245 50,66875 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-02-28 6,828 6,818 7,43 7,43 50,73204 50,65774 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-01 6,87 6,86 7,43 7,43 51,0441 50,9698 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-02 6,888 6,878 7,45 7,45 51,3156 51,2411 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-03 6,903 6,893 7,43 7,43 51,28929 51,21499 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-04 6,9 6,89 7,43 7,43 51,267 51,1927 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-07 6,84 6,83 7,49 7,49 51,2316 51,1567 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-08 6,825 6,815 7,51 7,51 51,25575 51,18065 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-09 6,76 6,75 7,52 7,52 50,8352 50,76 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-10 6,745 6,735 7,49 7,49 50,52005 50,44515 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-11 6,765 6,755 7,49 7,49 50,66985 50,59495 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-14 6,76 6,75 7,46 7,46 50,4296 50,355 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-15 6,815 6,805 7,46 7,46 50,8399 50,7653 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-16 6,81 6,8 7,46 7,46 50,8026 50,728 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-17 6,795 6,785 7,4 7,4 50,283 50,209 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-18 6,828 6,818 7,41 7,41 50,59548 50,52138 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-21 6,908 6,898 7,39 7,39 51,05012 50,97622 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-22 6,928 6,918 7,35 7,35 50,9208 50,8473 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-23 6,973 6,963 7,3 7,3 50,9029 50,8299 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-24 7,008 6,998 7,24 7,24 50,73792 50,66552 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-29 7,055 7,045 7,21 7,21 50,86655 50,79445 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-30 7,053 7,043 7,19 7,19 50,71107 50,63917 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-03-31 7,065 7,055 7,24 7,24 51,1506 51,0782 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-01 7,07 7,06 7,25 7,25 51,2575 51,185 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-04 7,113 7,103 7,25 7,25 51,56925 51,49675 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-05 7,163 7,153 7,22 7,22 51,71686 51,64466 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-06 7,125 7,115 7,25 7,25 51,65625 51,58375 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-07 7,083 7,073 7,28 7,28 51,56424 51,49144 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-08 7,153 7,143 7,32 7,32 52,35996 52,28676 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-11 7,098 7,088 7,26 7,26 51,53148 51,45888 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-12 7,048 7,038 7,29 7,29 51,37992 51,30702 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-13 7,075 7,065 7,29 7,29 51,57675 51,50385 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-14 7,12 7,11 7,23 7,23 51,4776 51,4053 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-15 7,17 7,16 7,14 7,14 51,1938 51,1224 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-18 7,08 7,07 7,02 7,02 49,7016 49,6314 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-19 7,068 7,058 7,02 7,02 49,61736 49,54716 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-20 7,043 7,033 7,08 7,08 49,86444 49,79364 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-21 7,025 7,015 7,04 7,04 49,456 49,3856 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-22 7,023 7,013 7,1 7,1 49,8633 49,7923 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-25 7,04 7,03 7,13 7,13 50,1952 50,1239 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-26 7,035 7,025 7,13 7,13 50,15955 50,08825 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-27 7,085 7,075 7,1 7,1 50,3035 50,2325 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-28 7,085 7,075 7,04 7,04 49,8784 49,808 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-04-29 7,08 7,07 7 7 49,56 49,49 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-02 7,15 7,14 7,05 7,05 50,4075 50,337 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-03 7,178 7,168 7,07 7,07 50,74846 50,67776 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-04 7,11 7,1 7,07 7,07 50,2677 50,197 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-06 7,085 7,075 7,18 7,18 50,8703 50,7985 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-09 7,168 7,158 7,18 7,18 51,46624 51,39444 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-10 7,178 7,168 7,16 7,16 51,39448 51,32288 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-11 7,15 7,14 7,12 7,12 50,908 50,8368 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-12 7,243 7,233 7,13 7,13 51,64259 51,57129 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-13 7,265 7,255 7,07 7,07 51,36355 51,29285 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-17 7,313 7,303 7,02 7,02 51,33726 51,26706 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-18 7,3 7,29 7,03 7,03 51,319 51,2487 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-19 7,26 7,25 7,12 7,12 51,6912 51,62 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-20 7,28 7,27 7,15 7,15 52,052 51,9805 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-24 7,295 7,285 7,16 7,16 52,2322 52,1606 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-25 7,298 7,288 7,18 7,18 52,39964 52,32784 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-26 7,33 7,32 7,15 7,15 52,4095 52,338 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-27 7,338 7,328 7,19 7,19 52,76022 52,68832 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-30 7,338 7,328 7,22 7,22 52,98036 52,90816 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-05-31 7,403 7,393 7,21 7,21 53,37563 53,30353 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-01 7,428 7,418 7,15 7,15 53,1102 53,0387 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-02 7,473 7,463 7,2 7,2 53,8056 53,7336 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-03 7,438 7,428 7,22 7,22 53,70236 53,63016 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-07 7,448 7,438 7,21 7,21 53,70008 53,62798 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-08 7,435 7,425 7,24 7,24 53,8294 53,757 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-09 7,523 7,513 7,22 7,22 54,31606 54,24386 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-10 7,525 7,515 7,23 7,23 54,40575 54,33345 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-13 7,643 7,633 7,23 7,23 55,25889 55,18659 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-14 7,663 7,653 7,21 7,21 55,25023 55,17813 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-15 7,693 7,683 7,24 7,24 55,69732 55,62492 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-16 7,678 7,668 7,24 7,24 55,58872 55,51632 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-17 7,643 7,633 7,3 7,3 55,7939 55,7209 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-20 7,543 7,533 7,34 7,34 55,36562 55,29222 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-21 7,648 7,638 7,33 7,33 56,05984 55,98654 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-22 7,608 7,598 7,32 7,32 55,69056 55,61736 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-27 7,73 7,72 7,25 7,25 56,0425 55,97 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-28 7,76 7,75 7,25 7,25 56,26 56,1875 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-29 7,833 7,823 7,28 7,28 57,02424 56,95144 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-06-30 7,823 7,813 7,28 7,28 56,95144 56,87864 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-01 7,858 7,848 7,26 7,26 57,04908 56,97648 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-04 7,945 7,935 7,27 7,27 57,76015 57,68745 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-05 7,963 7,953 7,23 7,23 57,57249 57,50019 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-06 7,895 7,885 7,25 7,25 57,23875 57,16625 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-07 7,878 7,868 7,23 7,23 56,95794 56,88564 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-08 7,913 7,903 7,2 7,2 56,9736 56,9016 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-11 7,89 7,88 7,27 7,27 57,3603 57,2876 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-12 7,77 7,76 7,34 7,34 57,0318 56,9584 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-13 7,703 7,693 7,37 7,37 56,77111 56,69741 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-14 7,76 7,75 7,4 7,4 57,424 57,35 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-15 7,76 7,75 7,39 7,39 57,3464 57,2725 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-18 7,78 7,77 7,39 7,39 57,4942 57,4203 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-19 7,878 7,868 7,35 7,35 57,9033 57,8298 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-20 7,818 7,808 7,38 7,38 57,69684 57,62304 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-21 7,775 7,765 7,42 7,42 57,6905 57,6163 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-22 7,758 7,748 7,42 7,42 57,56436 57,49016 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-25 7,838 7,828 7,43 7,43 58,23634 58,16204 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-26 7,818 7,808 7,4 7,4 57,8532 57,7792 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-27 7,905 7,895 7,4 7,4 58,497 58,423 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-28 7,848 7,838 7,42 7,42 58,23216 58,15796 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-07-29 7,748 7,738 7,49 7,49 58,03252 57,95762 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-01 7,72 7,71 7,46 7,46 57,5912 57,5166 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-02 7,7 7,69 7,5 7,5 57,75 57,675 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-03 7,685 7,675 7,56 7,56 58,0986 58,023 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-04 7,618 7,608 7,59 7,59 57,82062 57,74472 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-05 7,548 7,538 7,53 7,53 56,83644 56,76114 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-08 7,558 7,548 7,49 7,49 56,60942 56,53452 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-09 7,548 7,538 7,5 7,5 56,61 56,535 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-10 7,558 7,548 7,56 7,56 57,13848 57,06288 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-11 7,523 7,513 7,61 7,61 57,25003 57,17393 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-12 7,46 7,45 7,64 7,64 56,9944 56,918 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-16 7,523 7,513 7,61 7,61 57,25003 57,17393 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-17 7,605 7,595 7,54 7,54 57,3417 57,2663 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-18 7,61 7,6 7,53 7,53 57,3033 57,228 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-19 7,698 7,688 7,48 7,48 57,58104 57,50624 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-22 7,69 7,68 7,52 7,52 57,8288 57,7536 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-23 7,663 7,653 7,54 7,54 57,77902 57,70362 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-24 7,673 7,663 7,51 7,51 57,62423 57,54913 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-25 7,588 7,578 7,47 7,47 56,68236 56,60766 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-26 7,578 7,568 7,48 7,48 56,68344 56,60864 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-29 7,573 7,563 7,43 7,43 56,26739 56,19309 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-30 7,633 7,623 7,46 7,46 56,94218 56,86758 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-08-31 7,668 7,658 7,44 7,44 57,04992 56,97552 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-01 7,568 7,558 7,52 7,52 56,91136 56,83616 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-02 7,435 7,425 7,6 7,6 56,506 56,43 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-05 7,41 7,4 7,62 7,62 56,4642 56,388 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-06 7,485 7,475 7,69 7,69 57,55965 57,48275 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-07 7,43 7,42 7,69 7,69 57,1367 57,0598 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-08 7,498 7,488 7,69 7,69 57,65962 57,58272 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-09 7,523 7,513 7,67 7,67 57,70141 57,62471 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-12 7,555 7,545 7,74 7,74 58,4757 58,3983 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-13 7,57 7,56 7,72 7,72 58,4404 58,3632 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-14 7,61 7,6 7,67 7,67 58,3687 58,292 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-15 7,658 7,648 7,68 7,68 58,81344 58,73664 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-16 7,613 7,603 7,68 7,68 58,46784 58,39104 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-19 7,698 7,688 7,72 7,72 59,42856 59,35136 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-20 7,688 7,678 7,72 7,72 59,35136 59,27416 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-21 7,663 7,653 7,7 7,7 59,0051 58,9281 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-22 7,648 7,638 7,66 7,66 58,58368 58,50708 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-23 7,733 7,723 7,66 7,66 59,23478 59,15818 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-26 7,798 7,788 7,66 7,66 59,73268 59,65608 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-27 7,825 7,815 7,67 7,67 60,01775 59,94105 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-28 7,81 7,8 7,67 7,67 59,9027 59,826 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-29 7,785 7,775 7,73 7,73 60,17805 60,10075 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-09-30 7,785 7,775 7,75 7,75 60,33375 60,25625 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-03 7,783 7,773 7,75 7,75 60,31825 60,24075 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-04 7,82 7,81 7,75 7,75 60,605 60,5275 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-05 7,795 7,785 7,7 7,7 60,0215 59,9445 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-06 7,713 7,703 7,58 7,58 58,46454 58,38874 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-07 7,683 7,673 7,54 7,54 57,92982 57,85442 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-10 7,698 7,688 7,55 7,55 58,1199 58,0444 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-11 7,77 7,76 7,53 7,53 58,5081 58,4328 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-12 7,805 7,795 7,53 7,53 58,77165 58,69635 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-13 7,83 7,82 7,48 7,48 58,5684 58,4936 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-14 7,833 7,823 7,43 7,43 58,19919 58,12489 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-17 7,835 7,825 7,47 7,47 58,52745 58,45275 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-18 7,893 7,883 7,47 7,47 58,96071 58,88601 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-19 7,96 7,95 7,39 7,39 58,8244 58,7505 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-20 7,93 7,92 7,42 7,42 58,8406 58,7664 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-21 7,883 7,873 7,36 7,36 58,01888 57,94528 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-24 7,995 7,985 7,36 7,36 58,8432 58,7696 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-25 7,99 7,98 7,45 7,45 59,5255 59,451 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-26 7,868 7,858 7,48 7,48 58,85264 58,77784 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-27 7,868 7,858 7,47 7,47 58,77396 58,69926 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-28 7,825 7,815 7,41 7,41 57,98325 57,90915 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-10-31 7,905 7,895 7,49 7,49 59,20845 59,13355 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-02 7,98 7,97 7,54 7,54 60,1692 60,0938 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-03 8,01 8 7,6 7,6 60,876 60,8 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-04 8,028 8,018 7,67 7,67 61,57476 61,49806 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-07 8,135 8,125 7,64 7,64 62,1514 62,075 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-08 8,17 8,16 7,65 7,65 62,5005 62,424 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-09 8,12 8,11 7,62 7,62 61,8744 61,7982 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-10 8,173 8,163 7,62 7,62 62,27826 62,20206 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-11 8,235 8,225 7,65 7,65 62,99775 62,92125 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-14 8,133 8,123 7,67 7,67 62,38011 62,30341 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-15 8,185 8,175 7,66 7,66 62,6971 62,6205 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-16 8,21 8,2 7,64 7,64 62,7244 62,648 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-17 8,258 8,248 7,66 7,66 63,25628 63,17968 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-18 8,223 8,213 7,73 7,73 63,56379 63,48649 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-21 8,123 8,113 7,75 7,75 62,95325 62,87575 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-22 8,15 8,14 7,8 7,8 63,57 63,492 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-23 8,048 8,038 7,81 7,81 62,85488 62,77678 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-24 8,053 8,043 7,85 7,85 63,21605 63,13755 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-25 8,078 8,068 7,85 7,85 63,4123 63,3338 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-28 8,118 8,108 7,87 7,87 63,88866 63,80996 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-29 8,015 8,005 7,81 7,81 62,59715 62,51905 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-11-30 8,088 8,078 7,81 7,81 63,16728 63,08918 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-01 8,083 8,073 7,78 7,78 62,88574 62,80794 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-02 8,103 8,093 7,88 7,88 63,85164 63,77284 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-05 8,045 8,035 7,9 7,9 63,5555 63,4765 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-06 7,993 7,983 7,9 7,9 63,1447 63,0657 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-07 8,015 8,005 7,93 7,93 63,55895 63,47965 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-08 7,988 7,978 7,88 7,88 62,94544 62,86664 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-12 7,953 7,943 7,92 7,92 62,98776 62,90856 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-13 7,905 7,895 7,97 7,97 63,00285 62,92315 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-14 7,848 7,838 7,99 7,99 62,70552 62,62562 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-15 7,858 7,848 8 8 62,864 62,784 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-16 7,903 7,893 7,98 7,98 63,06594 62,98614 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-19 7,865 7,855 7,98 7,98 62,7627 62,6829 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-20 7,848 7,838 7,96 7,96 62,47008 62,39048 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-21 7,948 7,938 7,98 7,98 63,42504 63,34524 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-22 7,98 7,97 8 8 63,84 63,76 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-23 7,955 7,945 8,01 8,01 63,71955 63,63945 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-27 8,01 8 8,02 8,02 64,2402 64,16 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-28 7,915 7,905 7,98 7,98 63,1617 63,0819 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-29 7,938 7,928 8,01 8,01 63,58338 63,50328 303412 Credit Agricole Asset Management S.A. CA-Funds Global Equities USD 2005-12-30 7,958 7,948 7,99 7,99 63,58442 63,50452 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-03 6,668 6,658 10,36 10,36 69,08048 68,97688 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-04 6,728 6,718 10,34 10,34 69,56752 69,46412 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-05 6,828 6,818 10,22 10,22 69,78216 69,67996 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-07 6,87 6,86 10,14 10,14 69,6618 69,5604 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-10 6,96091 6,95091 10,14 10,14 70,5836274 70,4822274 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-11 6,96091 6,95091 10,17 10,17 70,7924547 70,6907547 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-12 6,913 6,903 10,12 10,12 69,95956 69,85836 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-13 6,843 6,833 10,08 10,08 68,97744 68,87664 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-14 6,915 6,905 10,07 10,07 69,63405 69,53335 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-17 6,915 6,905 10,08 10,08 69,7032 69,6024 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-18 6,968 6,958 10,08 10,08 70,23744 70,13664 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-19 6,91 6,9 10,16 10,16 70,2056 70,104 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-20 6,96 6,95 10,13 10,13 70,5048 70,4035 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-21 6,978 6,968 10,01 10,01 69,84978 69,74968 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-24 6,933 6,923 10,01 10,01 69,39933 69,29923 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-25 6,95 6,94 10,04 10,04 69,778 69,6776 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-26 6,995 6,985 10,06 10,06 70,3697 70,2691 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-27 6,93 6,92 10,07 10,07 69,7851 69,6844 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-28 6,985 6,975 10,09 10,09 70,47865 70,37775 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-01-31 6,998 6,988 10,08 10,08 70,53984 70,43904 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-01 6,993 6,983 10,18 10,18 71,18874 71,08694 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-02 6,953 6,943 10,26 10,26 71,33778 71,23518 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-03 6,968 6,958 10,26 10,26 71,49168 71,38908 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-04 7,01 7 10,23 10,23 71,7123 71,61 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-07 7,065 7,055 10,32 10,32 72,9108 72,8076 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-08 7,123 7,113 10,32 10,32 73,50936 73,40616 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-09 7,1 7,09 10,3 10,3 73,13 73,027 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-10 7,088 7,078 10,31 10,31 73,07728 72,97418 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-11 7,068 7,058 10,35 10,35 73,1538 73,0503 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-14 7,03 7,02 10,48 10,48 73,6744 73,5696 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-15 7,005 6,995 10,51 10,51 73,62255 73,51745 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-16 6,973 6,963 10,54 10,54 73,49542 73,39002 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-17 6,97 6,96 10,49 10,49 73,1153 73,0104 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-18 6,965 6,955 10,47 10,47 72,92355 72,81885 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-21 6,978 6,968 10,44 10,44 72,85032 72,74592 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-22 6,905 6,895 10,43 10,43 72,01915 71,91485 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-23 6,895 6,885 10,37 10,37 71,50115 71,39745 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-24 6,858 6,848 10,41 10,41 71,39178 71,28768 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-25 6,885 6,875 10,45 10,45 71,94825 71,84375 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-02-28 6,828 6,818 10,5 10,5 71,694 71,589 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-01 6,87 6,86 10,48 10,48 71,9976 71,8928 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-02 6,888 6,878 10,52 10,52 72,46176 72,35656 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-03 6,903 6,893 10,48 10,48 72,34344 72,23864 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-04 6,9 6,89 10,49 10,49 72,381 72,2761 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-07 6,84 6,83 10,57 10,57 72,2988 72,1931 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-08 6,825 6,815 10,6 10,6 72,345 72,239 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-09 6,76 6,75 10,61 10,61 71,7236 71,6175 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-10 6,745 6,735 10,54 10,54 71,0923 70,9869 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-11 6,765 6,755 10,58 10,58 71,5737 71,4679 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-14 6,76 6,75 10,55 10,55 71,318 71,2125 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-15 6,815 6,805 10,55 10,55 71,89825 71,79275 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-16 6,81 6,8 10,55 10,55 71,8455 71,74 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-17 6,795 6,785 10,44 10,44 70,9398 70,8354 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-18 6,828 6,818 10,43 10,43 71,21604 71,11174 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-21 6,908 6,898 10,39 10,39 71,77412 71,67022 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-22 6,928 6,918 10,28 10,28 71,21984 71,11704 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-23 6,973 6,963 10,16 10,16 70,84568 70,74408 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-24 7,008 6,998 10,08 10,08 70,64064 70,53984 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-29 7,055 7,045 10,06 10,06 70,9733 70,8727 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-30 7,053 7,043 10,04 10,04 70,81212 70,71172 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-03-31 7,065 7,055 10,07 10,07 71,14455 71,04385 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-01 7,07 7,06 10,08 10,08 71,2656 71,1648 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-04 7,113 7,103 10,02 10,02 71,27226 71,17206 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-05 7,163 7,153 9,97 9,97 71,41511 71,31541 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-06 7,125 7,115 10 10 71,25 71,15 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-07 7,083 7,073 10,06 10,06 71,25498 71,15438 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-08 7,153 7,143 10,11 10,11 72,31683 72,21573 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-11 7,098 7,088 10,07 10,07 71,47686 71,37616 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-12 7,048 7,038 10,11 10,11 71,25528 71,15418 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-13 7,075 7,065 10,13 10,13 71,66975 71,56845 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-14 7,12 7,11 10,08 10,08 71,7696 71,6688 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-15 7,17 7,16 9,95 9,95 71,3415 71,242 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-18 7,08 7,07 9,81 9,81 69,4548 69,3567 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-19 7,068 7,058 9,82 9,82 69,40776 69,30956 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-20 7,043 7,033 9,87 9,87 69,51441 69,41571 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-21 7,025 7,015 9,83 9,83 69,05575 68,95745 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-22 7,023 7,013 9,87 9,87 69,31701 69,21831 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-25 7,04 7,03 9,91 9,91 69,7664 69,6673 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-26 7,035 7,025 9,94 9,94 69,9279 69,8285 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-27 7,085 7,075 9,91 9,91 70,21235 70,11325 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-28 7,085 7,075 9,89 9,89 70,07065 69,97175 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-04-29 7,08 7,07 9,83 9,83 69,5964 69,4981 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-02 7,15 7,14 9,9 9,9 70,785 70,686 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-03 7,178 7,168 9,89 9,89 70,99042 70,89152 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-04 7,11 7,1 9,91 9,91 70,4601 70,361 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-06 7,085 7,075 10,07 10,07 71,34595 71,24525 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-09 7,168 7,158 10,05 10,05 72,0384 71,9379 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-10 7,178 7,168 10,02 10,02 71,92356 71,82336 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-11 7,15 7,14 9,94 9,94 71,071 70,9716 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-12 7,243 7,233 9,95 9,95 72,06785 71,96835 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-13 7,265 7,255 9,89 9,89 71,85085 71,75195 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-17 7,313 7,303 9,83 9,83 71,88679 71,78849 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-18 7,3 7,29 9,84 9,84 71,832 71,7336 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-19 7,26 7,25 9,96 9,96 72,3096 72,21 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-20 7,28 7,27 9,99 9,99 72,7272 72,6273 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-24 7,295 7,285 9,98 9,98 72,8041 72,7043 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-25 7,298 7,288 9,98 9,98 72,83404 72,73424 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-26 7,33 7,32 9,92 9,92 72,7136 72,6144 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-27 7,338 7,328 9,96 9,96 73,08648 72,98688 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-30 7,338 7,328 9,99 9,99 73,30662 73,20672 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-05-31 7,403 7,393 9,99 9,99 73,95597 73,85607 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-01 7,428 7,418 9,97 9,97 74,05716 73,95746 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-02 7,473 7,463 10 10 74,73 74,63 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-03 7,438 7,428 10 10 74,38 74,28 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-07 7,448 7,438 10 10 74,48 74,38 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-08 7,435 7,425 10,07 10,07 74,87045 74,76975 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-09 7,523 7,513 10,07 10,07 75,75661 75,65591 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-10 7,525 7,515 10,07 10,07 75,77675 75,67605 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-13 7,643 7,633 10,06 10,06 76,88858 76,78798 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-14 7,663 7,653 10,01 10,01 76,70663 76,60653 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-15 7,693 7,683 10,04 10,04 77,23772 77,13732 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-16 7,678 7,668 10,04 10,04 77,08712 76,98672 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-17 7,643 7,633 10,1 10,1 77,1943 77,0933 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-20 7,543 7,533 10,13 10,13 76,41059 76,30929 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-21 7,648 7,638 10,12 10,12 77,39776 77,29656 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-22 7,608 7,598 10,13 10,13 77,06904 76,96774 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-27 7,73 7,72 10,1 10,1 78,073 77,972 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-28 7,76 7,75 10,08 10,08 78,2208 78,12 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-29 7,833 7,823 10,12 10,12 79,26996 79,16876 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-06-30 7,823 7,813 10,13 10,13 79,24699 79,14569 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-01 7,858 7,848 10,07 10,07 79,13006 79,02936 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-04 7,945 7,935 10,07 10,07 80,00615 79,90545 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-05 7,963 7,953 10,01 10,01 79,70963 79,60953 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-06 7,895 7,885 10,03 10,03 79,18685 79,08655 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-07 7,878 7,868 10,01 10,01 78,85878 78,75868 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-08 7,913 7,903 9,98 9,98 78,97174 78,87194 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-11 7,89 7,88 10,07 10,07 79,4523 79,3516 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-12 7,77 7,76 10,15 10,15 78,8655 78,764 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-13 7,703 7,693 10,19 10,19 78,49357 78,39167 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-14 7,76 7,75 10,26 10,26 79,6176 79,515 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-15 7,76 7,75 10,25 10,25 79,54 79,4375 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-18 7,78 7,77 10,24 10,24 79,6672 79,5648 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-19 7,878 7,868 10,19 10,19 80,27682 80,17492 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-20 7,818 7,808 10,2 10,2 79,7436 79,6416 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-21 7,775 7,765 10,23 10,23 79,53825 79,43595 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-22 7,758 7,748 10,31 10,31 79,98498 79,88188 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-25 7,838 7,828 10,31 10,31 80,80978 80,70668 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-26 7,818 7,808 10,24 10,24 80,05632 79,95392 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-27 7,905 7,895 10,23 10,23 80,86815 80,76585 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-28 7,848 7,838 10,28 10,28 80,67744 80,57464 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-07-29 7,748 7,738 10,35 10,35 80,1918 80,0883 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-01 7,72 7,71 10,32 10,32 79,6704 79,5672 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-02 7,7 7,69 10,4 10,4 80,08 79,976 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-03 7,685 7,675 10,48 10,48 80,5388 80,434 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-04 7,618 7,608 10,5 10,5 79,989 79,884 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-05 7,548 7,538 10,42 10,42 78,65016 78,54596 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-08 7,558 7,548 10,37 10,37 78,37646 78,27276 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-09 7,548 7,538 10,39 10,39 78,42372 78,31982 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-10 7,558 7,548 10,46 10,46 79,05668 78,95208 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-11 7,523 7,513 10,59 10,59 79,66857 79,56267 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-12 7,46 7,45 10,63 10,63 79,2998 79,1935 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-16 7,523 7,513 10,65 10,65 80,11995 80,01345 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-17 7,605 7,595 10,6 10,6 80,613 80,507 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-18 7,61 7,6 10,58 10,58 80,5138 80,408 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-19 7,698 7,688 10,54 10,54 81,13692 81,03152 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-22 7,69 7,68 10,62 10,62 81,6678 81,5616 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-23 7,663 7,653 10,63 10,63 81,45769 81,35139 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-24 7,673 7,663 10,57 10,57 81,10361 80,99791 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-25 7,588 7,578 10,51 10,51 79,74988 79,64478 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-26 7,578 7,568 10,53 10,53 79,79634 79,69104 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-29 7,573 7,563 10,45 10,45 79,13785 79,03335 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-30 7,633 7,623 10,5 10,5 80,1465 80,0415 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-08-31 7,668 7,658 10,44 10,44 80,05392 79,94952 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-01 7,568 7,558 10,53 10,53 79,69104 79,58574 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-02 7,435 7,425 10,63 10,63 79,03405 78,92775 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-05 7,41 7,4 10,71 10,71 79,3611 79,254 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-06 7,485 7,475 10,72 10,72 80,2392 80,132 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-07 7,43 7,42 10,78 10,78 80,0954 79,9876 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-08 7,498 7,488 10,81 10,81 81,05338 80,94528 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-09 7,523 7,513 10,79 10,79 81,17317 81,06527 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-12 7,555 7,545 10,89 10,89 82,27395 82,16505 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-13 7,57 7,56 10,84 10,84 82,0588 81,9504 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-14 7,61 7,6 10,77 10,77 81,9597 81,852 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-15 7,658 7,648 10,81 10,81 82,78298 82,67488 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-16 7,613 7,603 10,8 10,8 82,2204 82,1124 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-19 7,698 7,688 10,86 10,86 83,60028 83,49168 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-20 7,688 7,678 10,9 10,9 83,7992 83,6902 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-21 7,663 7,653 10,92 10,92 83,67996 83,57076 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-22 7,648 7,638 10,83 10,83 82,82784 82,71954 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-23 7,733 7,723 10,81 10,81 83,59373 83,48563 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-26 7,798 7,788 10,86 10,86 84,68628 84,57768 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-27 7,825 7,815 10,87 10,87 85,05775 84,94905 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-28 7,81 7,8 10,93 10,93 85,3633 85,254 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-29 7,785 7,775 11,04 11,04 85,9464 85,836 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-09-30 7,785 7,775 11,05 11,05 86,02425 85,91375 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-03 7,783 7,773 11,03 11,03 85,84649 85,73619 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-04 7,82 7,81 11,01 11,01 86,0982 85,9881 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-05 7,795 7,785 10,96 10,96 85,4332 85,3236 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-06 7,713 7,703 10,8 10,8 83,3004 83,1924 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-07 7,683 7,673 10,81 10,81 83,05323 82,94513 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-10 7,698 7,688 10,85 10,85 83,5233 83,4148 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-11 7,77 7,76 10,9 10,9 84,693 84,584 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-12 7,805 7,795 10,87 10,87 84,84035 84,73165 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-13 7,83 7,82 10,85 10,85 84,9555 84,847 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-14 7,833 7,823 10,76 10,76 84,28308 84,17548 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-17 7,835 7,825 10,77 10,77 84,38295 84,27525 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-18 7,893 7,883 10,8 10,8 85,2444 85,1364 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-19 7,96 7,95 10,67 10,67 84,9332 84,8265 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-20 7,93 7,92 10,71 10,71 84,9303 84,8232 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-21 7,883 7,873 10,7 10,7 84,3481 84,2411 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-24 7,995 7,985 10,71 10,71 85,62645 85,51935 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-25 7,99 7,98 10,83 10,83 86,5317 86,4234 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-26 7,868 7,858 10,87 10,87 85,52516 85,41646 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-27 7,868 7,858 10,97 10,97 86,31196 86,20226 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-28 7,825 7,815 10,9 10,9 85,2925 85,1835 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-10-31 7,905 7,895 10,98 10,98 86,7969 86,6871 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-02 7,98 7,97 11,15 11,15 88,977 88,8655 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-03 8,01 8 11,22 11,22 89,8722 89,76 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-04 8,028 8,018 11,33 11,33 90,95724 90,84394 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-07 8,135 8,125 11,32 11,32 92,0882 91,975 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-08 8,17 8,16 11,35 11,35 92,7295 92,616 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-09 8,12 8,11 11,26 11,26 91,4312 91,3186 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-10 8,173 8,163 11,29 11,29 92,27317 92,16027 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-11 8,235 8,225 11,43 11,43 94,12605 94,01175 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-14 8,133 8,123 11,45 11,45 93,12285 93,00835 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-15 8,185 8,175 11,4 11,4 93,309 93,195 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-16 8,21 8,2 11,35 11,35 93,1835 93,07 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-17 8,258 8,248 11,37 11,37 93,89346 93,77976 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-18 8,223 8,213 11,49 11,49 94,48227 94,36737 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-21 8,123 8,113 11,52 11,52 93,57696 93,46176 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-22 8,15 8,14 11,54 11,54 94,051 93,9356 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-23 8,048 8,038 11,55 11,55 92,9544 92,8389 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-24 8,053 8,043 11,64 11,64 93,73692 93,62052 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-25 8,078 8,068 11,68 11,68 94,35104 94,23424 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-28 8,118 8,108 11,67 11,67 94,73706 94,62036 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-29 8,015 8,005 11,66 11,66 93,4549 93,3383 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-11-30 8,088 8,078 11,67 11,67 94,38696 94,27026 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-01 8,083 8,073 11,62 11,62 93,92446 93,80826 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-02 8,103 8,093 11,74 11,74 95,12922 95,01182 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-05 8,045 8,035 11,81 11,81 95,01145 94,89335 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-06 7,993 7,983 11,86 11,86 94,79698 94,67838 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-07 8,015 8,005 11,9 11,9 95,3785 95,2595 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-08 7,988 7,978 11,77 11,77 94,01876 93,90106 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-12 7,953 7,943 11,83 11,83 94,08399 93,96569 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-13 7,905 7,895 11,92 11,92 94,2276 94,1084 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-14 7,848 7,838 11,95 11,95 93,7836 93,6641 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-15 7,858 7,848 12 12 94,296 94,176 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-16 7,903 7,893 11,99 11,99 94,75697 94,63707 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-19 7,865 7,855 12,03 12,03 94,61595 94,49565 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-20 7,848 7,838 12,02 12,02 94,33296 94,21276 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-21 7,948 7,938 12,06 12,06 95,85288 95,73228 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-22 7,98 7,97 12,09 12,09 96,4782 96,3573 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-23 7,955 7,945 12,09 12,09 96,17595 96,05505 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-27 8,01 8 12,1 12,1 96,921 96,8 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-28 7,915 7,905 12,08 12,08 95,6132 95,4924 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-29 7,938 7,928 12,08 12,08 95,89104 95,77024 922856 Credit Agricole Asset Management S.A. CA-Funds Global Finance USD 2005-12-30 7,958 7,948 12,06 12,06 95,97348 95,85288 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-03 6,668 6,658 9,43 9,43 62,87924 62,78494 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-04 6,728 6,718 9,35 9,35 62,9068 62,8133 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-05 6,828 6,818 9,26 9,26 63,22728 63,13468 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-07 6,87 6,86 9,22 9,22 63,3414 63,2492 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-10 6,96091 6,95091 9,24 9,24 64,3188084 64,2264084 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-11 6,96091 6,95091 9,28 9,28 64,5972448 64,5044448 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-12 6,913 6,903 9,24 9,24 63,87612 63,78372 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-13 6,843 6,833 9,24 9,24 63,22932 63,13692 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-14 6,915 6,905 9,2 9,2 63,618 63,526 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-17 6,915 6,905 9,22 9,22 63,7563 63,6641 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-18 6,968 6,958 9,22 9,22 64,24496 64,15276 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-19 6,91 6,9 9,27 9,27 64,0557 63,963 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-20 6,96 6,95 9,24 9,24 64,3104 64,218 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-21 6,978 6,968 9,17 9,17 63,98826 63,89656 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-24 6,933 6,923 9,15 9,15 63,43695 63,34545 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-25 6,95 6,94 9,14 9,14 63,523 63,4316 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-26 6,995 6,985 9,16 9,16 64,0742 63,9826 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-27 6,93 6,92 9,19 9,19 63,6867 63,5948 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-28 6,985 6,975 9,22 9,22 64,4017 64,3095 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-01-31 6,998 6,988 9,18 9,18 64,24164 64,14984 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-01 6,993 6,983 9,23 9,23 64,54539 64,45309 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-02 6,953 6,943 9,26 9,26 64,38478 64,29218 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-03 6,968 6,958 9,3 9,3 64,8024 64,7094 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-04 7,01 7 9,3 9,3 65,193 65,1 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-07 7,065 7,055 9,4 9,4 66,411 66,317 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-08 7,123 7,113 9,36 9,36 66,67128 66,57768 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-09 7,1 7,09 9,35 9,35 66,385 66,2915 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-10 7,088 7,078 9,3 9,3 65,9184 65,8254 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-11 7,068 7,058 9,32 9,32 65,87376 65,78056 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-14 7,03 7,02 9,4 9,4 66,082 65,988 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-15 7,005 6,995 9,45 9,45 66,19725 66,10275 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-16 6,973 6,963 9,47 9,47 66,03431 65,93961 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-17 6,97 6,96 9,47 9,47 66,0059 65,9112 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-18 6,965 6,955 9,45 9,45 65,81925 65,72475 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-21 6,978 6,968 9,48 9,48 66,15144 66,05664 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-22 6,905 6,895 9,49 9,49 65,52845 65,43355 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-23 6,895 6,885 9,4 9,4 64,813 64,719 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-24 6,858 6,848 9,42 9,42 64,60236 64,50816 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-25 6,885 6,875 9,47 9,47 65,20095 65,10625 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-02-28 6,828 6,818 9,53 9,53 65,07084 64,97554 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-01 6,87 6,86 9,44 9,44 64,8528 64,7584 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-02 6,888 6,878 9,5 9,5 65,436 65,341 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-03 6,903 6,893 9,47 9,47 65,37141 65,27671 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-04 6,9 6,89 9,49 9,49 65,481 65,3861 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-07 6,84 6,83 9,54 9,54 65,2536 65,1582 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-08 6,825 6,815 9,58 9,58 65,3835 65,2877 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-09 6,76 6,75 9,54 9,54 64,4904 64,395 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-10 6,745 6,735 9,5 9,5 64,0775 63,9825 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-11 6,765 6,755 9,51 9,51 64,33515 64,24005 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-14 6,76 6,75 9,47 9,47 64,0172 63,9225 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-15 6,815 6,805 9,5 9,5 64,7425 64,6475 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-16 6,81 6,8 9,47 9,47 64,4907 64,396 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-17 6,795 6,785 9,42 9,42 64,0089 63,9147 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-18 6,828 6,818 9,44 9,44 64,45632 64,36192 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-21 6,908 6,898 9,42 9,42 65,07336 64,97916 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-22 6,928 6,918 9,37 9,37 64,91536 64,82166 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-23 6,973 6,963 9,35 9,35 65,19755 65,10405 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-24 7,008 6,998 9,34 9,34 65,45472 65,36132 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-29 7,055 7,045 9,34 9,34 65,8937 65,8003 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-30 7,053 7,043 9,32 9,32 65,73396 65,64076 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-03-31 7,065 7,055 9,41 9,41 66,48165 66,38755 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-01 7,07 7,06 9,37 9,37 66,2459 66,1522 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-04 7,113 7,103 9,36 9,36 66,57768 66,48408 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-05 7,163 7,153 9,33 9,33 66,83079 66,73749 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-06 7,125 7,115 9,46 9,46 67,4025 67,3079 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-07 7,083 7,073 9,5 9,5 67,2885 67,1935 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-08 7,153 7,143 9,58 9,58 68,52574 68,42994 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-11 7,098 7,088 9,51 9,51 67,50198 67,40688 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-12 7,048 7,038 9,55 9,55 67,3084 67,2129 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-13 7,075 7,065 9,59 9,59 67,84925 67,75335 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-14 7,12 7,11 9,59 9,59 68,2808 68,1849 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-15 7,17 7,16 9,52 9,52 68,2584 68,1632 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-18 7,08 7,07 9,48 9,48 67,1184 67,0236 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-19 7,068 7,058 9,43 9,43 66,65124 66,55694 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-20 7,043 7,033 9,52 9,52 67,04936 66,95416 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-21 7,025 7,015 9,46 9,46 66,4565 66,3619 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-22 7,023 7,013 9,53 9,53 66,92919 66,83389 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-25 7,04 7,03 9,54 9,54 67,1616 67,0662 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-26 7,035 7,025 9,56 9,56 67,2546 67,159 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-27 7,085 7,075 9,53 9,53 67,52005 67,42475 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-28 7,085 7,075 9,52 9,52 67,4492 67,354 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-04-29 7,08 7,07 9,5 9,5 67,26 67,165 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-02 7,15 7,14 9,58 9,58 68,497 68,4012 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-03 7,178 7,168 9,6 9,6 68,9088 68,8128 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-04 7,11 7,1 9,6 9,6 68,256 68,16 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-06 7,085 7,075 9,71 9,71 68,79535 68,69825 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-09 7,168 7,158 9,7 9,7 69,5296 69,4326 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-10 7,178 7,168 9,68 9,68 69,48304 69,38624 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-11 7,15 7,14 9,66 9,66 69,069 68,9724 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-12 7,243 7,233 9,68 9,68 70,11224 70,01544 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-13 7,265 7,255 9,63 9,63 69,96195 69,86565 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-17 7,313 7,303 9,58 9,58 70,05854 69,96274 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-18 7,3 7,29 9,6 9,6 70,08 69,984 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-19 7,26 7,25 9,66 9,66 70,1316 70,035 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-20 7,28 7,27 9,68 9,68 70,4704 70,3736 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-24 7,295 7,285 9,69 9,69 70,68855 70,59165 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-25 7,298 7,288 9,7 9,7 70,7906 70,6936 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-26 7,33 7,32 9,66 9,66 70,8078 70,7112 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-27 7,338 7,328 9,71 9,71 71,25198 71,15488 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-30 7,338 7,328 9,73 9,73 71,39874 71,30144 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-05-31 7,403 7,393 9,72 9,72 71,95716 71,85996 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-01 7,428 7,418 9,67 9,67 71,82876 71,73206 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-02 7,473 7,463 9,73 9,73 72,71229 72,61499 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-03 7,438 7,428 9,77 9,77 72,66926 72,57156 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-07 7,448 7,438 9,74 9,74 72,54352 72,44612 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-08 7,435 7,425 9,8 9,8 72,863 72,765 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-09 7,523 7,513 9,76 9,76 73,42448 73,32688 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-10 7,525 7,515 9,76 9,76 73,444 73,3464 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-13 7,643 7,633 9,74 9,74 74,44282 74,34542 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-14 7,663 7,653 9,74 9,74 74,63762 74,54022 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-15 7,693 7,683 9,78 9,78 75,23754 75,13974 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-16 7,678 7,668 9,74 9,74 74,78372 74,68632 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-17 7,643 7,633 9,77 9,77 74,67211 74,57441 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-20 7,543 7,533 9,82 9,82 74,07226 73,97406 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-21 7,648 7,638 9,82 9,82 75,10336 75,00516 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-22 7,608 7,598 9,82 9,82 74,71056 74,61236 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-27 7,73 7,72 9,74 9,74 75,2902 75,1928 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-28 7,76 7,75 9,74 9,74 75,5824 75,485 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-29 7,833 7,823 9,8 9,8 76,7634 76,6654 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-06-30 7,823 7,813 9,8 9,8 76,6654 76,5674 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-01 7,858 7,848 9,79 9,79 76,92982 76,83192 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-04 7,945 7,935 9,81 9,81 77,94045 77,84235 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-05 7,963 7,953 9,76 9,76 77,71888 77,62128 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-06 7,895 7,885 9,79 9,79 77,29205 77,19415 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-07 7,878 7,868 9,75 9,75 76,8105 76,713 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-08 7,913 7,903 9,75 9,75 77,15175 77,05425 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-11 7,89 7,88 9,85 9,85 77,7165 77,618 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-12 7,77 7,76 9,91 9,91 77,0007 76,9016 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-13 7,703 7,693 9,93 9,93 76,49079 76,39149 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-14 7,76 7,75 9,91 9,91 76,9016 76,8025 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-15 7,76 7,75 9,88 9,88 76,6688 76,57 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-18 7,78 7,77 9,91 9,91 77,0998 77,0007 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-19 7,878 7,868 9,89 9,89 77,91342 77,81452 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-20 7,818 7,808 9,87 9,87 77,16366 77,06496 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-21 7,775 7,765 9,97 9,97 77,51675 77,41705 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-22 7,758 7,748 9,95 9,95 77,1921 77,0926 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-25 7,838 7,828 9,95 9,95 77,9881 77,8886 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-26 7,818 7,808 9,89 9,89 77,32002 77,22112 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-27 7,905 7,895 9,9 9,9 78,2595 78,1605 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-28 7,848 7,838 9,94 9,94 78,00912 77,90972 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-07-29 7,748 7,738 10,03 10,03 77,71244 77,61214 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-01 7,72 7,71 10,03 10,03 77,4316 77,3313 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-02 7,7 7,69 10,08 10,08 77,616 77,5152 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-03 7,685 7,675 10,18 10,18 78,2333 78,1315 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-04 7,618 7,608 10,21 10,21 77,77978 77,67768 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-05 7,548 7,538 10,12 10,12 76,38576 76,28456 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-08 7,558 7,548 10,06 10,06 76,03348 75,93288 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-09 7,548 7,538 10,01 10,01 75,55548 75,45538 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-10 7,558 7,548 10,07 10,07 76,10906 76,00836 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-11 7,523 7,513 10,13 10,13 76,20799 76,10669 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-12 7,46 7,45 10,18 10,18 75,9428 75,841 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-16 7,523 7,513 10,15 10,15 76,35845 76,25695 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-17 7,605 7,595 10,08 10,08 76,6584 76,5576 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-18 7,61 7,6 10,07 10,07 76,6327 76,532 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-19 7,698 7,688 10,07 10,07 77,51886 77,41816 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-22 7,69 7,68 10,1 10,1 77,669 77,568 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-23 7,663 7,653 10,13 10,13 77,62619 77,52489 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-24 7,673 7,663 10,09 10,09 77,42057 77,31967 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-25 7,588 7,578 10,06 10,06 76,33528 76,23468 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-26 7,578 7,568 10,1 10,1 76,5378 76,4368 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-29 7,573 7,563 10,05 10,05 76,10865 76,00815 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-30 7,633 7,623 10,1 10,1 77,0933 76,9923 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-08-31 7,668 7,658 10,06 10,06 77,14008 77,03948 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-01 7,568 7,558 10,17 10,17 76,96656 76,86486 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-02 7,435 7,425 10,27 10,27 76,35745 76,25475 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-05 7,41 7,4 10,31 10,31 76,3971 76,294 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-06 7,485 7,475 10,33 10,33 77,32005 77,21675 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-07 7,43 7,42 10,43 10,43 77,4949 77,3906 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-08 7,498 7,488 10,43 10,43 78,20414 78,09984 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-09 7,523 7,513 10,39 10,39 78,16397 78,06007 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-12 7,555 7,545 10,48 10,48 79,1764 79,0716 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-13 7,57 7,56 10,44 10,44 79,0308 78,9264 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-14 7,61 7,6 10,35 10,35 78,7635 78,66 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-15 7,658 7,648 10,36 10,36 79,33688 79,23328 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-16 7,613 7,603 10,38 10,38 79,02294 78,91914 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-19 7,698 7,688 10,43 10,43 80,29014 80,18584 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-20 7,688 7,678 10,4 10,4 79,9552 79,8512 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-21 7,663 7,653 10,36 10,36 79,38868 79,28508 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-22 7,648 7,638 10,29 10,29 78,69792 78,59502 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-23 7,733 7,723 10,28 10,28 79,49524 79,39244 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-26 7,798 7,788 10,29 10,29 80,24142 80,13852 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-27 7,825 7,815 10,3 10,3 80,5975 80,4945 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-28 7,81 7,8 10,28 10,28 80,2868 80,184 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-29 7,785 7,775 10,32 10,32 80,3412 80,238 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-09-30 7,785 7,775 10,35 10,35 80,57475 80,47125 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-03 7,783 7,773 10,4 10,4 80,9432 80,8392 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-04 7,82 7,81 10,43 10,43 81,5626 81,4583 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-05 7,795 7,785 10,41 10,41 81,14595 81,04185 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-06 7,713 7,703 10,25 10,25 79,05825 78,95575 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-07 7,683 7,673 10,15 10,15 77,98245 77,88095 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-10 7,698 7,688 10,18 10,18 78,36564 78,26384 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-11 7,77 7,76 10,14 10,14 78,7878 78,6864 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-12 7,805 7,795 10,07 10,07 78,59635 78,49565 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-13 7,83 7,82 10 10 78,3 78,2 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-14 7,833 7,823 9,96 9,96 78,01668 77,91708 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-17 7,835 7,825 10,02 10,02 78,5067 78,4065 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-18 7,893 7,883 10,05 10,05 79,32465 79,22415 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-19 7,96 7,95 10 10 79,6 79,5 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-20 7,93 7,92 10,05 10,05 79,6965 79,596 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-21 7,883 7,873 9,91 9,91 78,12053 78,02143 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-24 7,995 7,985 9,94 9,94 79,4703 79,3709 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-25 7,99 7,98 10,04 10,04 80,2196 80,1192 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-26 7,868 7,858 10,02 10,02 78,83736 78,73716 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-27 7,868 7,858 9,97 9,97 78,44396 78,34426 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-28 7,825 7,815 9,91 9,91 77,54575 77,44665 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-10-31 7,905 7,895 10,04 10,04 79,3662 79,2658 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-02 7,98 7,97 10,05 10,05 80,199 80,0985 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-03 8,01 8 10,07 10,07 80,6607 80,56 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-04 8,028 8,018 10,16 10,16 81,56448 81,46288 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-07 8,135 8,125 10,12 10,12 82,3262 82,225 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-08 8,17 8,16 10,13 10,13 82,7621 82,6608 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-09 8,12 8,11 10,1 10,1 82,012 81,911 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-10 8,173 8,163 10,11 10,11 82,62903 82,52793 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-11 8,235 8,225 10,19 10,19 83,91465 83,81275 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-14 8,133 8,123 10,22 10,22 83,11926 83,01706 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-15 8,185 8,175 10,17 10,17 83,24145 83,13975 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-16 8,21 8,2 10,19 10,19 83,6599 83,558 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-17 8,258 8,248 10,16 10,16 83,90128 83,79968 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-18 8,223 8,213 10,21 10,21 83,95683 83,85473 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-21 8,123 8,113 10,21 10,21 82,93583 82,83373 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-22 8,15 8,14 10,26 10,26 83,619 83,5164 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-23 8,048 8,038 10,24 10,24 82,41152 82,30912 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-24 8,053 8,043 10,27 10,27 82,70431 82,60161 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-25 8,078 8,068 10,26 10,26 82,88028 82,77768 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-28 8,118 8,108 10,27 10,27 83,37186 83,26916 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-29 8,015 8,005 10,16 10,16 81,4324 81,3308 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-11-30 8,088 8,078 10,22 10,22 82,65936 82,55716 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-01 8,083 8,073 10,2 10,2 82,4466 82,3446 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-02 8,103 8,093 10,29 10,29 83,37987 83,27697 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-05 8,045 8,035 10,33 10,33 83,10485 83,00155 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-06 7,993 7,983 10,34 10,34 82,64762 82,54422 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-07 8,015 8,005 10,35 10,35 82,95525 82,85175 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-08 7,988 7,978 10,28 10,28 82,11664 82,01384 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-12 7,953 7,943 10,34 10,34 82,23402 82,13062 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-13 7,905 7,895 10,37 10,37 81,97485 81,87115 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-14 7,848 7,838 10,45 10,45 82,0116 81,9071 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-15 7,858 7,848 10,5 10,5 82,509 82,404 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-16 7,903 7,893 10,51 10,51 83,06053 82,95543 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-19 7,865 7,855 10,5 10,5 82,5825 82,4775 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-20 7,848 7,838 10,47 10,47 82,16856 82,06386 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-21 7,948 7,938 10,49 10,49 83,37452 83,26962 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-22 7,98 7,97 10,51 10,51 83,8698 83,7647 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-23 7,955 7,945 10,53 10,53 83,76615 83,66085 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-27 8,01 8 10,53 10,53 84,3453 84,24 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-28 7,915 7,905 10,5 10,5 83,1075 83,0025 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-29 7,938 7,928 10,52 10,52 83,50776 83,40256 887026 Credit Agricole Asset Management S.A. CA-Funds Global Food & Healthcare USD 2005-12-30 7,958 7,948 10,5 10,5 83,559 83,454 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-03 6,668 6,658 3,46 3,46 23,07128 23,03668 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-04 6,728 6,718 3,46 3,46 23,27888 23,24428 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-05 6,828 6,818 3,38 3,38 23,07864 23,04484 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-07 6,87 6,86 3,35 3,35 23,0145 22,981 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-10 6,96091 6,95091 3,36 3,36 23,3886576 23,3550576 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-11 6,96091 6,95091 3,37 3,37 23,4582667 23,4245667 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-12 6,913 6,903 3,34 3,34 23,08942 23,05602 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-13 6,843 6,833 3,34 3,34 22,85562 22,82222 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-14 6,915 6,905 3,33 3,33 23,02695 22,99365 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-17 6,915 6,905 3,33 3,33 23,02695 22,99365 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-18 6,968 6,958 3,33 3,33 23,20344 23,17014 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-19 6,91 6,9 3,34 3,34 23,0794 23,046 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-20 6,96 6,95 3,3 3,3 22,968 22,935 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-21 6,978 6,968 3,26 3,26 22,74828 22,71568 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-24 6,933 6,923 3,25 3,25 22,53225 22,49975 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-25 6,95 6,94 3,24 3,24 22,518 22,4856 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-26 6,995 6,985 3,25 3,25 22,73375 22,70125 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-27 6,93 6,92 3,27 3,27 22,6611 22,6284 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-28 6,985 6,975 3,28 3,28 22,9108 22,878 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-01-31 6,998 6,988 3,27 3,27 22,88346 22,85076 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-01 6,993 6,983 3,3 3,3 23,0769 23,0439 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-02 6,953 6,943 3,31 3,31 23,01443 22,98133 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-03 6,968 6,958 3,32 3,32 23,13376 23,10056 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-04 7,01 7 3,28 3,28 22,9928 22,96 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-07 7,065 7,055 3,33 3,33 23,52645 23,49315 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-08 7,123 7,113 3,32 3,32 23,64836 23,61516 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-09 7,1 7,09 3,32 3,32 23,572 23,5388 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-10 7,088 7,078 3,29 3,29 23,31952 23,28662 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-11 7,068 7,058 3,28 3,28 23,18304 23,15024 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-14 7,03 7,02 3,31 3,31 23,2693 23,2362 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-15 7,005 6,995 3,32 3,32 23,2566 23,2234 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-16 6,973 6,963 3,34 3,34 23,28982 23,25642 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-17 6,97 6,96 3,33 3,33 23,2101 23,1768 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-18 6,965 6,955 3,3 3,3 22,9845 22,9515 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-21 6,978 6,968 3,29 3,29 22,95762 22,92472 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-22 6,905 6,895 3,29 3,29 22,71745 22,68455 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-23 6,895 6,885 3,27 3,27 22,54665 22,51395 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-24 6,858 6,848 3,26 3,26 22,35708 22,32448 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-25 6,885 6,875 3,29 3,29 22,65165 22,61875 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-02-28 6,828 6,818 3,31 3,31 22,60068 22,56758 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-01 6,87 6,86 3,3 3,3 22,671 22,638 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-02 6,888 6,878 3,33 3,33 22,93704 22,90374 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-03 6,903 6,893 3,32 3,32 22,91796 22,88476 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-04 6,9 6,89 3,3 3,3 22,77 22,737 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-07 6,84 6,83 3,32 3,32 22,7088 22,6756 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-08 6,825 6,815 3,35 3,35 22,86375 22,83025 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-09 6,76 6,75 3,34 3,34 22,5784 22,545 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-10 6,745 6,735 3,34 3,34 22,5283 22,4949 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-11 6,765 6,755 3,33 3,33 22,52745 22,49415 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-14 6,76 6,75 3,3 3,3 22,308 22,275 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-15 6,815 6,805 3,3 3,3 22,4895 22,4565 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-16 6,81 6,8 3,29 3,29 22,4049 22,372 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-17 6,795 6,785 3,26 3,26 22,1517 22,1191 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-18 6,828 6,818 3,26 3,26 22,25928 22,22668 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-21 6,908 6,898 3,24 3,24 22,38192 22,34952 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-22 6,928 6,918 3,23 3,23 22,37744 22,34514 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-23 6,973 6,963 3,21 3,21 22,38333 22,35123 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-24 7,008 6,998 3,2 3,2 22,4256 22,3936 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-29 7,055 7,045 3,2 3,2 22,576 22,544 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-30 7,053 7,043 3,18 3,18 22,42854 22,39674 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-03-31 7,065 7,055 3,21 3,21 22,67865 22,64655 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-01 7,07 7,06 3,21 3,21 22,6947 22,6626 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-04 7,113 7,103 3,2 3,2 22,7616 22,7296 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-05 7,163 7,153 3,2 3,2 22,9216 22,8896 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-06 7,125 7,115 3,2 3,2 22,8 22,768 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-07 7,083 7,073 3,2 3,2 22,6656 22,6336 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-08 7,153 7,143 3,23 3,23 23,10419 23,07189 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-11 7,098 7,088 3,21 3,21 22,78458 22,75248 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-12 7,048 7,038 3,21 3,21 22,62408 22,59198 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-13 7,075 7,065 3,21 3,21 22,71075 22,67865 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-14 7,12 7,11 3,18 3,18 22,6416 22,6098 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-15 7,17 7,16 3,14 3,14 22,5138 22,4824 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-18 7,08 7,07 3,06 3,06 21,6648 21,6342 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-19 7,068 7,058 3,06 3,06 21,62808 21,59748 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-20 7,043 7,033 3,08 3,08 21,69244 21,66164 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-21 7,025 7,015 3,06 3,06 21,4965 21,4659 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-22 7,023 7,013 3,12 3,12 21,91176 21,88056 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-25 7,04 7,03 3,11 3,11 21,8944 21,8633 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-26 7,035 7,025 3,12 3,12 21,9492 21,918 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-27 7,085 7,075 3,1 3,1 21,9635 21,9325 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-28 7,085 7,075 3,09 3,09 21,89265 21,86175 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-04-29 7,08 7,07 3,06 3,06 21,6648 21,6342 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-02 7,15 7,14 3,09 3,09 22,0935 22,0626 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-03 7,178 7,168 3,08 3,08 22,10824 22,07744 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-04 7,11 7,1 3,09 3,09 21,9699 21,939 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-06 7,085 7,075 3,14 3,14 22,2469 22,2155 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-09 7,168 7,158 3,15 3,15 22,5792 22,5477 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-10 7,178 7,168 3,16 3,16 22,68248 22,65088 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-11 7,15 7,14 3,13 3,13 22,3795 22,3482 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-12 7,243 7,233 3,14 3,14 22,74302 22,71162 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-13 7,265 7,255 3,14 3,14 22,8121 22,7807 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-17 7,313 7,303 3,17 3,17 23,18221 23,15051 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-18 7,3 7,29 3,17 3,17 23,141 23,1093 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-19 7,26 7,25 3,21 3,21 23,3046 23,2725 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-20 7,28 7,27 3,23 3,23 23,5144 23,4821 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-24 7,295 7,285 3,25 3,25 23,70875 23,67625 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-25 7,298 7,288 3,24 3,24 23,64552 23,61312 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-26 7,33 7,32 3,22 3,22 23,6026 23,5704 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-27 7,338 7,328 3,25 3,25 23,8485 23,816 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-30 7,338 7,328 3,25 3,25 23,8485 23,816 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-05-31 7,403 7,393 3,24 3,24 23,98572 23,95332 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-01 7,428 7,418 3,22 3,22 23,91816 23,88596 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-02 7,473 7,463 3,24 3,24 24,21252 24,18012 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-03 7,438 7,428 3,25 3,25 24,1735 24,141 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-07 7,448 7,438 3,21 3,21 23,90808 23,87598 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-08 7,435 7,425 3,22 3,22 23,9407 23,9085 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-09 7,523 7,513 3,21 3,21 24,14883 24,11673 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-10 7,525 7,515 3,21 3,21 24,15525 24,12315 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-13 7,643 7,633 3,19 3,19 24,38117 24,34927 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-14 7,663 7,653 3,19 3,19 24,44497 24,41307 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-15 7,693 7,683 3,19 3,19 24,54067 24,50877 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-16 7,678 7,668 3,19 3,19 24,49282 24,46092 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-17 7,643 7,633 3,21 3,21 24,53403 24,50193 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-20 7,543 7,533 3,22 3,22 24,28846 24,25626 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-21 7,648 7,638 3,22 3,22 24,62656 24,59436 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-22 7,608 7,598 3,23 3,23 24,57384 24,54154 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-27 7,73 7,72 3,18 3,18 24,5814 24,5496 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-28 7,76 7,75 3,16 3,16 24,5216 24,49 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-29 7,833 7,823 3,18 3,18 24,90894 24,87714 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-06-30 7,823 7,813 3,19 3,19 24,95537 24,92347 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-01 7,858 7,848 3,18 3,18 24,98844 24,95664 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-04 7,945 7,935 3,18 3,18 25,2651 25,2333 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-05 7,963 7,953 3,16 3,16 25,16308 25,13148 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-06 7,895 7,885 3,17 3,17 25,02715 24,99545 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-07 7,878 7,868 3,18 3,18 25,05204 25,02024 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-08 7,913 7,903 3,17 3,17 25,08421 25,05251 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-11 7,89 7,88 3,22 3,22 25,4058 25,3736 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-12 7,77 7,76 3,26 3,26 25,3302 25,2976 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-13 7,703 7,693 3,29 3,29 25,34287 25,30997 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-14 7,76 7,75 3,31 3,31 25,6856 25,6525 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-15 7,76 7,75 3,32 3,32 25,7632 25,73 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-18 7,78 7,77 3,31 3,31 25,7518 25,7187 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-19 7,878 7,868 3,29 3,29 25,91862 25,88572 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-20 7,818 7,808 3,33 3,33 26,03394 26,00064 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-21 7,775 7,765 3,33 3,33 25,89075 25,85745 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-22 7,758 7,748 3,32 3,32 25,75656 25,72336 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-25 7,838 7,828 3,3 3,3 25,8654 25,8324 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-26 7,818 7,808 3,29 3,29 25,72122 25,68832 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-27 7,905 7,895 3,31 3,31 26,16555 26,13245 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-28 7,848 7,838 3,33 3,33 26,13384 26,10054 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-07-29 7,748 7,738 3,34 3,34 25,87832 25,84492 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-01 7,72 7,71 3,34 3,34 25,7848 25,7514 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-02 7,7 7,69 3,35 3,35 25,795 25,7615 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-03 7,685 7,675 3,39 3,39 26,05215 26,01825 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-04 7,618 7,608 3,39 3,39 25,82502 25,79112 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-05 7,548 7,538 3,36 3,36 25,36128 25,32768 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-08 7,558 7,548 3,34 3,34 25,24372 25,21032 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-09 7,548 7,538 3,34 3,34 25,21032 25,17692 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-10 7,558 7,548 3,36 3,36 25,39488 25,36128 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-11 7,523 7,513 3,35 3,35 25,20205 25,16855 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-12 7,46 7,45 3,36 3,36 25,0656 25,032 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-16 7,523 7,513 3,34 3,34 25,12682 25,09342 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-17 7,605 7,595 3,3 3,3 25,0965 25,0635 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-18 7,61 7,6 3,32 3,32 25,2652 25,232 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-19 7,698 7,688 3,29 3,29 25,32642 25,29352 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-22 7,69 7,68 3,3 3,3 25,377 25,344 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-23 7,663 7,653 3,32 3,32 25,44116 25,40796 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-24 7,673 7,663 3,31 3,31 25,39763 25,36453 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-25 7,588 7,578 3,28 3,28 24,88864 24,85584 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-26 7,578 7,568 3,28 3,28 24,85584 24,82304 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-29 7,573 7,563 3,25 3,25 24,61225 24,57975 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-30 7,633 7,623 3,27 3,27 24,95991 24,92721 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-08-31 7,668 7,658 3,26 3,26 24,99768 24,96508 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-01 7,568 7,558 3,28 3,28 24,82304 24,79024 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-02 7,435 7,425 3,3 3,3 24,5355 24,5025 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-05 7,41 7,4 3,31 3,31 24,5271 24,494 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-06 7,485 7,475 3,31 3,31 24,77535 24,74225 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-07 7,43 7,42 3,34 3,34 24,8162 24,7828 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-08 7,498 7,488 3,34 3,34 25,04332 25,00992 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-09 7,523 7,513 3,34 3,34 25,12682 25,09342 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-12 7,555 7,545 3,35 3,35 25,30925 25,27575 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-13 7,57 7,56 3,35 3,35 25,3595 25,326 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-14 7,61 7,6 3,35 3,35 25,4935 25,46 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-15 7,658 7,648 3,34 3,34 25,57772 25,54432 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-16 7,613 7,603 3,32 3,32 25,27516 25,24196 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-19 7,698 7,688 3,34 3,34 25,71132 25,67792 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-20 7,688 7,678 3,31 3,31 25,44728 25,41418 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-21 7,663 7,653 3,3 3,3 25,2879 25,2549 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-22 7,648 7,638 3,26 3,26 24,93248 24,89988 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-23 7,733 7,723 3,26 3,26 25,20958 25,17698 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-26 7,798 7,788 3,26 3,26 25,42148 25,38888 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-27 7,825 7,815 3,26 3,26 25,5095 25,4769 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-28 7,81 7,8 3,25 3,25 25,3825 25,35 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-29 7,785 7,775 3,27 3,27 25,45695 25,42425 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-09-30 7,785 7,775 3,29 3,29 25,61265 25,57975 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-03 7,783 7,773 3,3 3,3 25,6839 25,6509 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-04 7,82 7,81 3,31 3,31 25,8842 25,8511 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-05 7,795 7,785 3,29 3,29 25,64555 25,61265 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-06 7,713 7,703 3,25 3,25 25,06725 25,03475 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-07 7,683 7,673 3,23 3,23 24,81609 24,78379 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-10 7,698 7,688 3,24 3,24 24,94152 24,90912 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-11 7,77 7,76 3,22 3,22 25,0194 24,9872 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-12 7,805 7,795 3,19 3,19 24,89795 24,86605 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-13 7,83 7,82 3,18 3,18 24,8994 24,8676 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-14 7,833 7,823 3,19 3,19 24,98727 24,95537 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-17 7,835 7,825 3,2 3,2 25,072 25,04 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-18 7,893 7,883 3,2 3,2 25,2576 25,2256 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-19 7,96 7,95 3,17 3,17 25,2332 25,2015 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-20 7,93 7,92 3,17 3,17 25,1381 25,1064 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-21 7,883 7,873 3,15 3,15 24,83145 24,79995 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-24 7,995 7,985 3,16 3,16 25,2642 25,2326 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-25 7,99 7,98 3,19 3,19 25,4881 25,4562 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-26 7,868 7,858 3,19 3,19 25,09892 25,06702 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-27 7,868 7,858 3,19 3,19 25,09892 25,06702 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-28 7,825 7,815 3,15 3,15 24,64875 24,61725 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-10-31 7,905 7,895 3,17 3,17 25,05885 25,02715 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-02 7,98 7,97 3,2 3,2 25,536 25,504 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-03 8,01 8 3,23 3,23 25,8723 25,84 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-04 8,028 8,018 3,26 3,26 26,17128 26,13868 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-07 8,135 8,125 3,26 3,26 26,5201 26,4875 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-08 8,17 8,16 3,26 3,26 26,6342 26,6016 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-09 8,12 8,11 3,25 3,25 26,39 26,3575 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-10 8,173 8,163 3,25 3,25 26,56225 26,52975 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-11 8,235 8,225 3,26 3,26 26,8461 26,8135 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-14 8,133 8,123 3,27 3,27 26,59491 26,56221 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-15 8,185 8,175 3,27 3,27 26,76495 26,73225 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-16 8,21 8,2 3,23 3,23 26,5183 26,486 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-17 8,258 8,248 3,23 3,23 26,67334 26,64104 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-18 8,223 8,213 3,27 3,27 26,88921 26,85651 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-21 8,123 8,113 3,28 3,28 26,64344 26,61064 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-22 8,15 8,14 3,3 3,3 26,895 26,862 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-23 8,048 8,038 3,31 3,31 26,63888 26,60578 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-24 8,053 8,043 3,34 3,34 26,89702 26,86362 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-25 8,078 8,068 3,34 3,34 26,98052 26,94712 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-28 8,118 8,108 3,35 3,35 27,1953 27,1618 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-29 8,015 8,005 3,33 3,33 26,68995 26,65665 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-11-30 8,088 8,078 3,33 3,33 26,93304 26,89974 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-01 8,083 8,073 3,33 3,33 26,91639 26,88309 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-02 8,103 8,093 3,38 3,38 27,38814 27,35434 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-05 8,045 8,035 3,37 3,37 27,11165 27,07795 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-06 7,993 7,983 3,36 3,36 26,85648 26,82288 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-07 8,015 8,005 3,37 3,37 27,01055 26,97685 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-08 7,988 7,978 3,36 3,36 26,83968 26,80608 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-12 7,953 7,943 3,36 3,36 26,72208 26,68848 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-13 7,905 7,895 3,38 3,38 26,7189 26,6851 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-14 7,848 7,838 3,37 3,37 26,44776 26,41406 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-15 7,858 7,848 3,37 3,37 26,48146 26,44776 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-16 7,903 7,893 3,36 3,36 26,55408 26,52048 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-19 7,865 7,855 3,35 3,35 26,34775 26,31425 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-20 7,848 7,838 3,32 3,32 26,05536 26,02216 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-21 7,948 7,938 3,32 3,32 26,38736 26,35416 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-22 7,98 7,97 3,32 3,32 26,4936 26,4604 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-23 7,955 7,945 3,33 3,33 26,49015 26,45685 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-27 8,01 8 3,34 3,34 26,7534 26,72 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-28 7,915 7,905 3,33 3,33 26,35695 26,32365 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-29 7,938 7,928 3,34 3,34 26,51292 26,47952 851196 Credit Agricole Asset Management S.A. CA-Funds Global Techno & Telecom USD 2005-12-30 7,958 7,948 3,32 3,32 26,42056 26,38736 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-03 0,0649 0,0648 696 696 45,1704 45,1008 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-04 0,06545 0,06535 697 697 45,61865 45,54895 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-05 0,0653 0,0652 691 691 45,1223 45,0532 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-07 0,06565 0,06555 691 691 45,36415 45,29505 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-10 0,06651 0,06641 691 691 45,95841 45,88931 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-11 0,06651 0,06641 697 697 46,35747 46,28777 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-12 0,06685 0,06675 692 692 46,2602 46,191 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-13 0,06685 0,06675 688 688 45,9928 45,924 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-14 0,0672 0,0671 693 693 46,5696 46,5003 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-17 0,0679 0,0678 694 694 47,1226 47,0532 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-18 0,0679 0,0678 691 691 46,9189 46,8498 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-19 0,06745 0,06735 689 689 46,47305 46,40415 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-20 0,06765 0,06755 682 682 46,1373 46,0691 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-21 0,06725 0,06715 680 680 45,73 45,662 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-24 0,06745 0,06735 684 684 46,1358 46,0674 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-25 0,0674 0,0673 683 683 46,0342 45,9659 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-26 0,06755 0,06745 688 688 46,4744 46,4056 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-27 0,0672 0,0671 686 686 46,0992 46,0306 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-28 0,0677 0,0676 685 685 46,3745 46,306 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-01-31 0,0676 0,0675 688 688 46,5088 46,44 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-01 0,06725 0,06715 688 688 46,268 46,1992 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-02 0,0671 0,067 688 688 46,1648 46,096 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-03 0,06695 0,06685 686 686 45,9277 45,8591 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-04 0,0671 0,067 683 683 45,8293 45,761 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-07 0,0677 0,0676 689 689 46,6453 46,5764 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-08 0,06765 0,06755 690 690 46,6785 46,6095 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-09 0,06725 0,06715 689 689 46,33525 46,26635 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-10 0,06715 0,06705 693 693 46,53495 46,46565 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-11 0,06695 0,06685 693 693 46,39635 46,32705 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-14 0,0671 0,067 699 699 46,9029 46,833 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-15 0,0667 0,0666 700 700 46,69 46,62 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-16 0,06635 0,06625 695 695 46,11325 46,04375 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-17 0,06615 0,06605 695 695 45,97425 45,90475 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-18 0,06615 0,06605 698 698 46,1727 46,1029 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-21 0,06605 0,06595 698 698 46,1029 46,0331 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-22 0,06605 0,06595 695 695 45,90475 45,83525 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-23 0,0658 0,0657 688 688 45,2704 45,2016 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-24 0,0655 0,0654 691 691 45,2605 45,1914 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-25 0,06545 0,06535 698 698 45,6841 45,6143 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-02-28 0,06545 0,06535 703 703 46,01135 45,94105 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-01 0,06565 0,06555 704 704 46,2176 46,1472 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-02 0,06585 0,06575 708 708 46,6218 46,551 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-03 0,06575 0,06565 710 710 46,6825 46,6115 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-04 0,06545 0,06535 710 710 46,4695 46,3985 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-07 0,0652 0,0651 714 714 46,5528 46,4814 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-08 0,06505 0,06495 711 711 46,25055 46,17945 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-09 0,06465 0,06455 714 714 46,1601 46,0887 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-10 0,06485 0,06475 712 712 46,1732 46,102 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-11 0,065 0,0649 714 714 46,41 46,3386 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-14 0,0647 0,0646 713 713 46,1311 46,0598 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-15 0,06505 0,06495 711 711 46,25055 46,17945 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-16 0,06535 0,06525 713 713 46,59455 46,52325 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-17 0,0652 0,0651 711 711 46,3572 46,2861 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-18 0,0652 0,0651 719 719 46,8788 46,8069 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-21 0,0657 0,0656 719 719 47,2383 47,1664 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-22 0,06595 0,06585 718 718 47,3521 47,2803 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-23 0,06615 0,06605 713 713 47,16495 47,09365 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-24 0,0659 0,0658 711 711 46,8549 46,7838 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-29 0,06595 0,06585 707 707 46,62665 46,55595 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-30 0,06575 0,06565 706 706 46,4195 46,3489 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-03-31 0,06595 0,06585 713 713 47,02235 46,95105 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-01 0,06585 0,06575 716 716 47,1486 47,077 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-04 0,06595 0,06585 716 716 47,2202 47,1486 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-05 0,06585 0,06575 720 720 47,412 47,34 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-06 0,06595 0,06585 722 722 47,6159 47,5437 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-07 0,06545 0,06535 726 726 47,5167 47,4441 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-08 0,0658 0,0657 728 728 47,9024 47,8296 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-11 0,06555 0,06545 720 720 47,196 47,124 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-12 0,06545 0,06535 713 713 46,66585 46,59455 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-13 0,0659 0,0658 710 710 46,789 46,718 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-14 0,06615 0,06605 705 705 46,63575 46,56525 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-15 0,06625 0,06615 694 694 45,9775 45,9081 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-18 0,0658 0,0657 669 669 44,0202 43,9533 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-19 0,06595 0,06585 680 680 44,846 44,778 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-20 0,0659 0,0658 681 681 44,8779 44,8098 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-21 0,0657 0,0656 675 675 44,3475 44,28 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-22 0,06585 0,06575 683 683 44,97555 44,90725 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-25 0,0666 0,0665 683 683 45,4878 45,4195 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-26 0,0664 0,0663 683 683 45,3512 45,2829 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-27 0,06675 0,06665 681 681 45,45675 45,38865 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-28 0,0669 0,0668 684 684 45,7596 45,6912 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-04-29 0,06725 0,06715 684 684 45,999 45,9306 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-02 0,068 0,0679 686 686 46,648 46,5794 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-03 0,06825 0,06815 686 686 46,8195 46,7509 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-04 0,0679 0,0678 686 686 46,5794 46,5108 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-06 0,0677 0,0676 696 696 47,1192 47,0496 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-09 0,06805 0,06795 697 697 47,43085 47,36115 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-10 0,0678 0,0677 695 695 47,121 47,0515 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-11 0,06765 0,06755 692 692 46,8138 46,7446 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-12 0,06815 0,06805 689 689 46,95535 46,88645 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-13 0,068 0,0679 687 687 46,716 46,6473 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-17 0,06825 0,06815 670 670 45,7275 45,6605 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-18 0,06785 0,06775 670 670 45,4595 45,3925 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-19 0,06775 0,06765 683 683 46,27325 46,20495 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-20 0,0677 0,0676 682 682 46,1714 46,1032 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-24 0,0679 0,0678 689 689 46,7831 46,7142 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-25 0,06795 0,06785 683 683 46,40985 46,34155 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-26 0,06785 0,06775 683 683 46,34155 46,27325 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-27 0,06805 0,06795 688 688 46,8184 46,7496 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-30 0,068 0,0679 692 692 47,056 46,9868 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-05-31 0,06835 0,06825 696 696 47,5716 47,502 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-01 0,06855 0,06845 697 697 47,77935 47,70965 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-02 0,069 0,0689 698 698 48,162 48,0922 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-03 0,06895 0,06885 699 699 48,19605 48,12615 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-07 0,06975 0,06965 695 695 48,47625 48,40675 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-08 0,0696 0,0695 699 699 48,6504 48,5805 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-09 0,0702 0,0701 693 693 48,6486 48,5793 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-10 0,0701 0,07 700 700 49,07 49 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-13 0,07035 0,07025 700 700 49,245 49,175 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-14 0,0701 0,07 701 701 49,1401 49,07 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-15 0,07045 0,07035 707 707 49,80815 49,73745 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-16 0,07025 0,07015 708 708 49,737 49,6662 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-17 0,0702 0,0701 716 716 50,2632 50,1916 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-20 0,06935 0,06925 716 716 49,6546 49,583 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-21 0,06995 0,06985 717 717 50,15415 50,08245 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-22 0,07015 0,07005 719 719 50,43785 50,36595 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-27 0,07085 0,07075 712 712 50,4452 50,374 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-28 0,0707 0,0706 720 720 50,904 50,832 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-29 0,0711 0,071 722 722 51,3342 51,262 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-06-30 0,0709 0,0708 722 722 51,1898 51,1176 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-01 0,07065 0,07055 726 726 51,2919 51,2193 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-04 0,07125 0,07115 730 730 52,0125 51,9395 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-05 0,07115 0,07105 728 728 51,7972 51,7244 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-06 0,07075 0,07065 728 728 51,506 51,4332 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-07 0,07025 0,07015 724 724 50,861 50,7886 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-08 0,07045 0,07035 723 723 50,93535 50,86305 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-11 0,0705 0,0704 727 727 51,2535 51,1808 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-12 0,0699 0,0698 729 729 50,9571 50,8842 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-13 0,06915 0,06905 730 730 50,4795 50,4065 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-14 0,0694 0,0693 733 733 50,8702 50,7969 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-15 0,0694 0,0693 735 735 51,009 50,9355 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-18 0,0694 0,0693 735 735 51,009 50,9355 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-19 0,06995 0,06985 734 734 51,3433 51,2699 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-20 0,0691 0,069 736 736 50,8576 50,784 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-21 0,06925 0,06915 734 734 50,8295 50,7561 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-22 0,06995 0,06985 730 730 51,0635 50,9905 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-25 0,07005 0,06995 733 733 51,34665 51,27335 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-26 0,06995 0,06985 733 733 51,27335 51,20005 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-27 0,07015 0,07005 736 736 51,6304 51,5568 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-28 0,0697 0,0696 738 738 51,4386 51,3648 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-07-29 0,06915 0,06905 738 738 51,0327 50,9589 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-01 0,0689 0,0688 738 738 50,8482 50,7744 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-02 0,0691 0,069 732 732 50,5812 50,508 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-03 0,06885 0,06875 733 733 50,46705 50,39375 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-04 0,0686 0,0685 730 730 50,078 50,005 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-05 0,0678 0,0677 721 721 48,8838 48,8117 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-08 0,0674 0,0673 722 722 48,6628 48,5906 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-09 0,06745 0,06735 733 733 49,44085 49,36755 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-10 0,06805 0,06795 744 744 50,6292 50,5548 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-11 0,06825 0,06815 753 753 51,39225 51,31695 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-12 0,06805 0,06795 755 755 51,37775 51,30225 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-16 0,06895 0,06885 757 757 52,19515 52,11945 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-17 0,06915 0,06905 756 756 52,2774 52,2018 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-18 0,0691 0,069 757 757 52,3087 52,233 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-19 0,06965 0,06955 756 756 52,6554 52,5798 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-22 0,07 0,0699 769 769 53,83 53,7531 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-23 0,06965 0,06955 768 768 53,4912 53,4144 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-24 0,0694 0,0693 772 772 53,5768 53,4996 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-25 0,06905 0,06895 767 767 52,96135 52,88465 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-26 0,069 0,0689 769 769 53,061 52,9841 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-29 0,0687 0,0686 762 762 52,3494 52,2732 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-30 0,0688 0,0687 770 770 52,976 52,899 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-08-31 0,0688 0,0687 769 769 52,9072 52,8303 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-01 0,06825 0,06815 771 771 52,62075 52,54365 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-02 0,0678 0,0677 774 774 52,4772 52,3998 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-05 0,06775 0,06765 779 779 52,77725 52,69935 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-06 0,06825 0,06815 777 777 53,03025 52,95255 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-07 0,0678 0,0677 776 776 52,6128 52,5352 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-08 0,068 0,0679 771 771 52,428 52,3509 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-09 0,0681 0,068 778 778 52,9818 52,904 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-12 0,06875 0,06865 790 790 54,3125 54,2335 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-13 0,0685 0,0684 793 793 54,3205 54,2412 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-14 0,0688 0,0687 791 791 54,4208 54,3417 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-15 0,06925 0,06915 800 800 55,4 55,32 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-16 0,0688 0,0687 804 804 55,3152 55,2348 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-19 0,06905 0,06895 804 804 55,5162 55,4358 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-20 0,0691 0,069 817 817 56,4547 56,373 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-21 0,06865 0,06855 821 821 56,36165 56,27955 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-22 0,06875 0,06865 819 819 56,30625 56,22435 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-23 0,0692 0,0691 819 819 56,6748 56,5929 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-26 0,06935 0,06925 836 836 57,9766 57,893 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-27 0,0693 0,0692 832 832 57,6576 57,5744 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-28 0,06915 0,06905 847 847 58,57005 58,48535 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-29 0,06895 0,06885 860 860 59,297 59,211 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-09-30 0,06865 0,06855 857 857 58,83305 58,74735 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-03 0,06835 0,06825 856 856 58,5076 58,422 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-04 0,0685 0,0684 863 863 59,1155 59,0292 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-05 0,06845 0,06835 857 857 58,66165 58,57595 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-06 0,06785 0,06775 832 832 56,4512 56,368 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-07 0,06775 0,06765 831 831 56,30025 56,21715 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-10 0,06775 0,06765 830 830 56,2325 56,1495 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-11 0,0681 0,068 851 851 57,9531 57,868 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-12 0,0681 0,068 851 851 57,9531 57,868 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-13 0,0682 0,0681 855 855 58,311 58,2255 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-14 0,0684 0,0683 851 851 58,2084 58,1233 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-17 0,0686 0,0685 851 851 58,3786 58,2935 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-18 0,0684 0,0683 848 848 58,0032 57,9184 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-19 0,06865 0,06855 843 843 57,87195 57,78765 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-20 0,0686 0,0685 843 843 57,8298 57,7455 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-21 0,06845 0,06835 846 846 57,9087 57,8241 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-24 0,0692 0,0691 840 840 58,128 58,044 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-25 0,0691 0,069 853 853 58,9423 58,857 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-26 0,06825 0,06815 861 861 58,76325 58,67715 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-27 0,06825 0,06815 875 875 59,71875 59,63125 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-28 0,06795 0,06785 871 871 59,18445 59,09735 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-10-31 0,0684 0,0683 886 886 60,6024 60,5138 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-02 0,06825 0,06815 908 908 61,971 61,8802 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-03 0,06855 0,06845 908 908 62,2434 62,1526 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-04 0,06825 0,06815 922 922 62,9265 62,8343 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-07 0,069 0,0689 922 922 63,618 63,5258 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-08 0,0693 0,0692 920 920 63,756 63,664 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-09 0,0692 0,0691 913 913 63,1796 63,0883 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-10 0,06945 0,06935 915 915 63,54675 63,45525 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-11 0,0699 0,0698 919 919 64,2381 64,1462 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-14 0,0689 0,0688 910 910 62,699 62,608 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-15 0,0689 0,0688 903 903 62,2167 62,1264 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-16 0,06895 0,06885 910 910 62,7445 62,6535 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-17 0,06955 0,06945 925 925 64,33375 64,24125 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-18 0,0689 0,0688 940 940 64,766 64,672 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-21 0,0682 0,0681 939 939 64,0398 63,9459 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-22 0,06845 0,06835 934 934 63,9323 63,8389 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-23 0,068 0,0679 934 934 63,512 63,4186 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-24 0,06785 0,06775 930 930 63,1005 63,0075 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-25 0,06775 0,06765 939 939 63,61725 63,52335 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-28 0,0677 0,0676 949 949 64,2473 64,1524 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-29 0,06735 0,06725 951 951 64,04985 63,95475 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-11-30 0,0677 0,0676 947 947 64,1119 64,0172 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-01 0,06745 0,06735 960 960 64,752 64,656 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-02 0,0672 0,0671 976 976 65,5872 65,4896 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-05 0,06635 0,06625 987 987 65,48745 65,38875 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-06 0,066 0,0659 986 986 65,076 64,9774 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-07 0,06635 0,06625 987 987 65,48745 65,38875 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-08 0,06635 0,06625 970 970 64,3595 64,2625 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-12 0,06595 0,06585 1000 1000 65,95 65,85 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-13 0,06585 0,06575 1005 1005 66,17925 66,07875 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-14 0,0662 0,0661 991 991 65,6042 65,5051 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-15 0,06745 0,06735 978 978 65,9661 65,8683 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-16 0,06805 0,06795 976 976 66,4168 66,3192 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-19 0,06765 0,06755 984 984 66,5676 66,4692 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-20 0,06735 0,06725 1004 1004 67,6194 67,519 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-21 0,06795 0,06785 1023 1023 69,51285 69,41055 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-22 0,06795 0,06785 1023 1023 69,51285 69,41055 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-23 0,06825 0,06815 1023 1023 69,81975 69,71745 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-27 0,06855 0,06845 1029 1029 70,53795 70,43505 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-28 0,06765 0,06755 1037 1037 70,15305 70,04935 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-29 0,0674 0,0673 1044 1044 70,3656 70,2612 378737 Credit Agricole Asset Management S.A. CA-Funds Japan JPY 2005-12-30 0,06785 0,06775 1037 1037 70,36045 70,25675 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-03 6,668 6,658 8,5 8,5 56,678 56,593 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-04 6,728 6,718 8,42 8,42 56,64976 56,56556 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-05 6,828 6,818 8,31 8,31 56,74068 56,65758 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-07 6,87 6,86 8,29 8,29 56,9523 56,8694 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-10 6,96091 6,95091 8,28 8,28 57,6363348 57,5535348 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-11 6,96091 6,95091 8,32 8,32 57,9147712 57,8315712 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-12 6,913 6,903 8,28 8,28 57,23964 57,15684 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-13 6,843 6,833 8,31 8,31 56,86533 56,78223 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-14 6,915 6,905 8,26 8,26 57,1179 57,0353 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-17 6,915 6,905 8,31 8,31 57,46365 57,38055 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-18 6,968 6,958 8,31 8,31 57,90408 57,82098 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-19 6,91 6,9 8,39 8,39 57,9749 57,891 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-20 6,96 6,95 8,31 8,31 57,8376 57,7545 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-21 6,978 6,968 8,25 8,25 57,5685 57,486 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-24 6,933 6,923 8,2 8,2 56,8506 56,7686 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-25 6,95 6,94 8,19 8,19 56,9205 56,8386 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-26 6,995 6,985 8,22 8,22 57,4989 57,4167 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-27 6,93 6,92 8,25 8,25 57,1725 57,09 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-28 6,985 6,975 8,27 8,27 57,76595 57,68325 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-01-31 6,998 6,988 8,24 8,24 57,66352 57,58112 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-01 6,993 6,983 8,32 8,32 58,18176 58,09856 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-02 6,953 6,943 8,36 8,36 58,12708 58,04348 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-03 6,968 6,958 8,38 8,38 58,39184 58,30804 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-04 7,01 7 8,37 8,37 58,6737 58,59 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-07 7,065 7,055 8,45 8,45 59,69925 59,61475 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-08 7,123 7,113 8,43 8,43 60,04689 59,96259 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-09 7,1 7,09 8,43 8,43 59,853 59,7687 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-10 7,088 7,078 8,35 8,35 59,1848 59,1013 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-11 7,068 7,058 8,4 8,4 59,3712 59,2872 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-14 7,03 7,02 8,47 8,47 59,5441 59,4594 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-15 7,005 6,995 8,46 8,46 59,2623 59,1777 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-16 6,973 6,963 8,48 8,48 59,13104 59,04624 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-17 6,97 6,96 8,51 8,51 59,3147 59,2296 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-18 6,965 6,955 8,44 8,44 58,7846 58,7002 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-21 6,978 6,968 8,45 8,45 58,9641 58,8796 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-22 6,905 6,895 8,45 8,45 58,34725 58,26275 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-23 6,895 6,885 8,34 8,34 57,5043 57,4209 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-24 6,858 6,848 8,39 8,39 57,53862 57,45472 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-25 6,885 6,875 8,45 8,45 58,17825 58,09375 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-02-28 6,828 6,818 8,54 8,54 58,31112 58,22572 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-01 6,87 6,86 8,46 8,46 58,1202 58,0356 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-02 6,888 6,878 8,49 8,49 58,47912 58,39422 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-03 6,903 6,893 8,49 8,49 58,60647 58,52157 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-04 6,9 6,89 8,51 8,51 58,719 58,6339 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-07 6,84 6,83 8,59 8,59 58,7556 58,6697 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-08 6,825 6,815 8,63 8,63 58,89975 58,81345 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-09 6,76 6,75 8,59 8,59 58,0684 57,9825 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-10 6,745 6,735 8,51 8,51 57,39995 57,31485 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-11 6,765 6,755 8,51 8,51 57,57015 57,48505 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-14 6,76 6,75 8,47 8,47 57,2572 57,1725 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-15 6,815 6,805 8,53 8,53 58,13195 58,04665 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-16 6,81 6,8 8,46 8,46 57,6126 57,528 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-17 6,795 6,785 8,4 8,4 57,078 56,994 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-18 6,828 6,818 8,4 8,4 57,3552 57,2712 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-21 6,908 6,898 8,38 8,38 57,88904 57,80524 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-22 6,928 6,918 8,34 8,34 57,77952 57,69612 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-23 6,973 6,963 8,27 8,27 57,66671 57,58401 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-24 7,008 6,998 8,24 8,24 57,74592 57,66352 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-29 7,055 7,045 8,24 8,24 58,1332 58,0508 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-30 7,053 7,043 8,16 8,16 57,55248 57,47088 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-03-31 7,065 7,055 8,28 8,28 58,4982 58,4154 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-01 7,07 7,06 8,3 8,3 58,681 58,598 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-04 7,113 7,103 8,26 8,26 58,75338 58,67078 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-05 7,163 7,153 8,27 8,27 59,23801 59,15531 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-06 7,125 7,115 8,29 8,29 59,06625 58,98335 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-07 7,083 7,073 8,32 8,32 58,93056 58,84736 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-08 7,153 7,143 8,37 8,37 59,87061 59,78691 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-11 7,098 7,088 8,29 8,29 58,84242 58,75952 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-12 7,048 7,038 8,28 8,28 58,35744 58,27464 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-13 7,075 7,065 8,31 8,31 58,79325 58,71015 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-14 7,12 7,11 8,2 8,2 58,384 58,302 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-15 7,17 7,16 8,1 8,1 58,077 57,996 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-18 7,08 7,07 7,97 7,97 56,4276 56,3479 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-19 7,068 7,058 8,01 8,01 56,61468 56,53458 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-20 7,043 7,033 8,07 8,07 56,83701 56,75631 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-21 7,025 7,015 7,96 7,96 55,919 55,8394 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-22 7,023 7,013 8,11 8,11 56,95653 56,87543 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-25 7,04 7,03 8,06 8,06 56,7424 56,6618 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-26 7,035 7,025 8,12 8,12 57,1242 57,043 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-27 7,085 7,075 8,07 8,07 57,17595 57,09525 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-28 7,085 7,075 8,08 8,08 57,2468 57,166 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-04-29 7,08 7,07 7,99 7,99 56,5692 56,4893 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-02 7,15 7,14 8,08 8,08 57,772 57,6912 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-03 7,178 7,168 8,1 8,1 58,1418 58,0608 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-04 7,11 7,1 8,09 8,09 57,5199 57,439 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-06 7,085 7,075 8,2 8,2 58,097 58,015 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-09 7,168 7,158 8,22 8,22 58,92096 58,83876 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-10 7,178 7,168 8,27 8,27 59,36206 59,27936 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-11 7,15 7,14 8,18 8,18 58,487 58,4052 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-12 7,243 7,233 8,23 8,23 59,60989 59,52759 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-13 7,265 7,255 8,13 8,13 59,06445 58,98315 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-17 7,313 7,303 8,16 8,16 59,67408 59,59248 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-18 7,3 7,29 8,2 8,2 59,86 59,778 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-19 7,26 7,25 8,28 8,28 60,1128 60,03 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-20 7,28 7,27 8,32 8,32 60,5696 60,4864 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-24 7,295 7,285 8,33 8,33 60,76735 60,68405 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-25 7,298 7,288 8,34 8,34 60,86532 60,78192 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-26 7,33 7,32 8,32 8,32 60,9856 60,9024 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-27 7,338 7,328 8,38 8,38 61,49244 61,40864 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-30 7,338 7,328 8,4 8,4 61,6392 61,5552 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-05-31 7,403 7,393 8,41 8,41 62,25923 62,17513 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-01 7,428 7,418 8,37 8,37 62,17236 62,08866 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-02 7,473 7,463 8,45 8,45 63,14685 63,06235 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-03 7,438 7,428 8,46 8,46 62,92548 62,84088 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-07 7,448 7,438 8,44 8,44 62,86112 62,77672 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-08 7,435 7,425 8,43 8,43 62,67705 62,59275 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-09 7,523 7,513 8,4 8,4 63,1932 63,1092 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-10 7,525 7,515 8,46 8,46 63,6615 63,5769 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-13 7,643 7,633 8,45 8,45 64,58335 64,49885 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-14 7,663 7,653 8,48 8,48 64,98224 64,89744 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-15 7,693 7,683 8,49 8,49 65,31357 65,22867 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-16 7,678 7,668 8,53 8,53 65,49334 65,40804 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-17 7,643 7,633 8,58 8,58 65,57694 65,49114 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-20 7,543 7,533 8,6 8,6 64,8698 64,7838 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-21 7,648 7,638 8,6 8,6 65,7728 65,6868 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-22 7,608 7,598 8,57 8,57 65,20056 65,11486 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-27 7,73 7,72 8,44 8,44 65,2412 65,1568 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-28 7,76 7,75 8,43 8,43 65,4168 65,3325 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-29 7,833 7,823 8,51 8,51 66,65883 66,57373 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-06-30 7,823 7,813 8,5 8,5 66,4955 66,4105 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-01 7,858 7,848 8,43 8,43 66,24294 66,15864 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-04 7,945 7,935 8,45 8,45 67,13525 67,05075 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-05 7,963 7,953 8,44 8,44 67,20772 67,12332 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-06 7,895 7,885 8,53 8,53 67,34435 67,25905 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-07 7,878 7,868 8,47 8,47 66,72666 66,64196 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-08 7,913 7,903 8,5 8,5 67,2605 67,1755 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-11 7,89 7,88 8,6 8,6 67,854 67,768 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-12 7,77 7,76 8,65 8,65 67,2105 67,124 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-13 7,703 7,693 8,67 8,67 66,78501 66,69831 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-14 7,76 7,75 8,68 8,68 67,3568 67,27 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-15 7,76 7,75 8,66 8,66 67,2016 67,115 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-18 7,78 7,77 8,65 8,65 67,297 67,2105 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-19 7,878 7,868 8,61 8,61 67,82958 67,74348 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-20 7,818 7,808 8,69 8,69 67,93842 67,85152 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-21 7,775 7,765 8,74 8,74 67,9535 67,8661 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-22 7,758 7,748 8,68 8,68 67,33944 67,25264 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-25 7,838 7,828 8,74 8,74 68,50412 68,41672 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-26 7,818 7,808 8,69 8,69 67,93842 67,85152 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-27 7,905 7,895 8,71 8,71 68,85255 68,76545 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-28 7,848 7,838 8,76 8,76 68,74848 68,66088 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-07-29 7,748 7,738 8,8 8,8 68,1824 68,0944 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-08-01 7,72 7,71 8,74 8,74 67,4728 67,3854 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-08-02 7,7 7,69 8,77 8,77 67,529 67,4413 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-08-03 7,685 7,675 8,84 8,84 67,9354 67,847 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-08-04 7,618 7,608 8,84 8,84 67,34312 67,25472 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-08-05 7,548 7,538 8,78 8,78 66,27144 66,18364 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-08-08 7,558 7,548 8,7 8,7 65,7546 65,6676 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-08-09 7,548 7,538 8,71 8,71 65,74308 65,65598 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-08-10 7,558 7,548 8,75 8,75 66,1325 66,045 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-08-11 7,523 7,513 8,76 8,76 65,90148 65,81388 815365 Credit Agricole Asset Management S.A. CA-Funds USA USD 2005-08-12 7,46 7,45 8,82 8,82 65,7972 65,709 815365 Credit Agricole Asset Management S.A. 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Carlson Fund Equity - American Small Cap SEK 2005-01-12 1 1 16,8261 16,8261 16,8261 16,8261 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-13 1 1 16,6721 16,6721 16,6721 16,6721 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-14 1 1 16,7087 16,7087 16,7087 16,7087 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-17 1 1 16,9673 16,9673 16,9673 16,9673 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-18 1 1 17,038 17,038 17,038 17,038 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-19 1 1 17,1226 17,1226 17,1226 17,1226 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-20 1 1 17,1249 17,1249 17,1249 17,1249 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-21 1 1 16,949 16,949 16,949 16,949 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-24 1 1 16,8701 16,8701 16,8701 16,8701 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-25 1 1 16,8018 16,8018 16,8018 16,8018 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-26 1 1 16,938 16,938 16,938 16,938 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-27 1 1 17,0651 17,0651 17,0651 17,0651 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-28 1 1 17,0757 17,0757 17,0757 17,0757 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-01-31 1 1 17,0978 17,0978 17,0978 17,0978 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-01 1 1 17,3435 17,3435 17,3435 17,3435 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-02 1 1 17,3826 17,3826 17,3826 17,3826 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-03 1 1 17,4997 17,4997 17,4997 17,4997 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-04 1 1 17,5319 17,5319 17,5319 17,5319 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-07 1 1 17,8695 17,8695 17,8695 17,8695 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-08 1 1 18,0515 18,0515 18,0515 18,0515 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-09 1 1 18,0647 18,0647 18,0647 18,0647 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-10 1 1 17,736 17,736 17,736 17,736 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-11 1 1 17,67 17,67 17,67 17,67 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-14 1 1 17,7308 17,7308 17,7308 17,7308 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-15 1 1 17,6531 17,6531 17,6531 17,6531 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-16 1 1 17,5399 17,5399 17,5399 17,5399 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-17 1 1 17,5544 17,5544 17,5544 17,5544 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-18 1 1 17,3274 17,3274 17,3274 17,3274 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-21 1 1 17,3021 17,3021 17,3021 17,3021 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-22 1 1 17,0972 17,0972 17,0972 17,0972 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-23 1 1 16,75 16,75 16,75 16,75 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-24 1 1 16,7612 16,7612 16,7612 16,7612 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-25 1 1 17,0111 17,0111 17,0111 17,0111 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-02-28 1 1 17,0444 17,0444 17,0444 17,0444 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-01 1 1 17,1138 17,1138 17,1138 17,1138 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-02 1 1 17,3736 17,3736 17,3736 17,3736 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-03 1 1 17,2611 17,2611 17,2611 17,2611 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-04 1 1 17,2846 17,2846 17,2846 17,2846 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-07 1 1 17,3117 17,3117 17,3117 17,3117 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-08 1 1 17,2692 17,2692 17,2692 17,2692 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-09 1 1 17,0374 17,0374 17,0374 17,0374 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-10 1 1 16,9026 16,9026 16,9026 16,9026 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-11 1 1 16,7487 16,7487 16,7487 16,7487 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-14 1 1 16,7894 16,7894 16,7894 16,7894 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-15 1 1 16,94 16,94 16,94 16,94 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-16 1 1 16,8993 16,8993 16,8993 16,8993 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-17 1 1 16,8063 16,8063 16,8063 16,8063 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-18 1 1 16,9121 16,9121 16,9121 16,9121 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-21 1 1 16,9827 16,9827 16,9827 16,9827 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-22 1 1 17,0667 17,0667 17,0667 17,0667 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-23 1 1 17,1169 17,1169 17,1169 17,1169 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-24 1 1 16,9608 16,9608 16,9608 16,9608 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-29 1 1 17,1538 17,1538 17,1538 17,1538 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-30 1 1 16,8404 16,8404 16,8404 16,8404 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-03-31 1 1 17,1545 17,1545 17,1545 17,1545 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-01 1 1 17,1768 17,1768 17,1768 17,1768 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-04 1 1 17,1768 17,1768 17,1768 17,1768 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-05 1 1 17,3292 17,3292 17,3292 17,3292 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-06 1 1 17,2251 17,2251 17,2251 17,2251 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-07 1 1 17,2575 17,2575 17,2575 17,2575 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-08 1 1 17,3776 17,3776 17,3776 17,3776 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-11 1 1 16,9189 16,9189 16,9189 16,9189 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-12 1 1 16,8257 16,8257 16,8257 16,8257 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-13 1 1 17,0096 17,0096 17,0096 17,0096 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-14 1 1 16,7909 16,7909 16,7909 16,7909 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-15 1 1 16,6076 16,6076 16,6076 16,6076 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-18 1 1 16,1595 16,1595 16,1595 16,1595 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-19 1 1 16,2543 16,2543 16,2543 16,2543 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-20 1 1 16,4563 16,4563 16,4563 16,4563 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-21 1 1 16,0382 16,0382 16,0382 16,0382 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-22 1 1 16,3321 16,3321 16,3321 16,3321 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-25 1 1 16,1827 16,1827 16,1827 16,1827 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-26 1 1 16,3268 16,3268 16,3268 16,3268 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-27 1 1 16,1842 16,1842 16,1842 16,1842 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-28 1 1 16,1347 16,1347 16,1347 16,1347 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-04-29 1 1 15,8808 15,8808 15,8808 15,8808 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-02 1 1 16,191 16,191 16,191 16,191 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-03 1 1 16,4495 16,4495 16,4495 16,4495 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-04 1 1 16,234 16,234 16,234 16,234 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-06 1 1 16,4457 16,4457 16,4457 16,4457 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-09 1 1 16,6461 16,6461 16,6461 16,6461 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-10 1 1 16,8109 16,8109 16,8109 16,8109 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-11 1 1 16,4426 16,4426 16,4426 16,4426 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-12 1 1 16,6895 16,6895 16,6895 16,6895 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-13 1 1 16,626 16,626 16,626 16,626 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-17 1 1 16,7596 16,7596 16,7596 16,7596 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-18 1 1 16,8494 16,8494 16,8494 16,8494 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-19 1 1 17,1346 17,1346 17,1346 17,1346 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-20 1 1 17,2238 17,2238 17,2238 17,2238 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-23 1 1 17,2349 17,2349 17,2349 17,2349 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-24 1 1 17,274 17,274 17,274 17,274 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-25 1 1 17,1901 17,1901 17,1901 17,1901 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-26 1 1 17,0906 17,0906 17,0906 17,0906 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-27 1 1 17,3829 17,3829 17,3829 17,3829 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-30 1 1 17,3998 17,3998 17,3998 17,3998 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-05-31 1 1 17,5413 17,5413 17,5413 17,5413 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-01 1 1 17,5634 17,5634 17,5634 17,5634 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-02 1 1 17,8023 17,8023 17,8023 17,8023 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-03 1 1 17,7434 17,7434 17,7434 17,7434 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-07 1 1 17,6565 17,6565 17,6565 17,6565 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-08 1 1 17,5576 17,5576 17,5576 17,5576 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-09 1 1 17,624 17,624 17,624 17,624 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-10 1 1 17,8612 17,8612 17,8612 17,8612 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-13 1 1 18,1595 18,1595 18,1595 18,1595 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-14 1 1 18,1849 18,1849 18,1849 18,1849 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-15 1 1 18,4414 18,4414 18,4414 18,4414 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-16 1 1 18,4141 18,4141 18,4141 18,4141 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-17 1 1 18,4616 18,4616 18,4616 18,4616 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-20 1 1 18,155 18,155 18,155 18,155 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-21 1 1 18,3458 18,3458 18,3458 18,3458 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-22 1 1 18,2439 18,2439 18,2439 18,2439 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-27 1 1 18,1394 18,1394 18,1394 18,1394 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-28 1 1 18,2877 18,2877 18,2877 18,2877 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-29 1 1 18,7462 18,7462 18,7462 18,7462 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-06-30 1 1 18,7653 18,7653 18,7653 18,7653 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-01 1 1 18,7149 18,7149 18,7149 18,7149 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-04 1 1 19,117 19,117 19,117 19,117 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-05 1 1 19,063 19,063 19,063 19,063 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-06 1 1 19,2365 19,2365 19,2365 19,2365 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-07 1 1 19,0521 19,0521 19,0521 19,0521 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-08 1 1 19,2763 19,2763 19,2763 19,2763 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-11 1 1 19,4656 19,4656 19,4656 19,4656 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-12 1 1 19,4291 19,4291 19,4291 19,4291 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-13 1 1 19,1702 19,1702 19,1702 19,1702 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-14 1 1 19,2537 19,2537 19,2537 19,2537 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-15 1 1 19,1886 19,1886 19,1886 19,1886 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-18 1 1 19,2062 19,2062 19,2062 19,2062 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-19 1 1 19,3078 19,3078 19,3078 19,3078 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-20 1 1 19,4933 19,4933 19,4933 19,4933 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-21 1 1 19,7683 19,7683 19,7683 19,7683 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-22 1 1 19,523 19,523 19,523 19,523 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-25 1 1 19,9455 19,9455 19,9455 19,9455 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-26 1 1 19,9697 19,9697 19,9697 19,9697 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-27 1 1 20,1054 20,1054 20,1054 20,1054 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-28 1 1 19,7906 19,7906 19,7906 19,7906 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-07-29 1 1 20,0735 20,0735 20,0735 20,0735 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-01 1 1 19,8394 19,8394 19,8394 19,8394 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-02 1 1 19,9341 19,9341 19,9341 19,9341 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-03 1 1 19,9363 19,9363 19,9363 19,9363 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-04 1 1 19,7773 19,7773 19,7773 19,7773 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-05 1 1 19,2951 19,2951 19,2951 19,2951 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-08 1 1 19,132 19,132 19,132 19,132 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-09 1 1 19,1829 19,1829 19,1829 19,1829 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-10 1 1 19,1011 19,1011 19,1011 19,1011 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-11 1 1 19,009 19,009 19,009 19,009 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-12 1 1 19,0117 19,0117 19,0117 19,0117 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-16 1 1 19,2318 19,2318 19,2318 19,2318 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-17 1 1 18,9631 18,9631 18,9631 18,9631 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-18 1 1 19,1087 19,1087 19,1087 19,1087 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-19 1 1 19,0977 19,0977 19,0977 19,0977 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-22 1 1 19,161 19,161 19,161 19,161 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-23 1 1 19,2055 19,2055 19,2055 19,2055 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-24 1 1 19,1604 19,1604 19,1604 19,1604 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-25 1 1 18,9979 18,9979 18,9979 18,9979 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-26 1 1 18,9023 18,9023 18,9023 18,9023 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-29 1 1 18,6958 18,6958 18,6958 18,6958 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-30 1 1 19,1328 19,1328 19,1328 19,1328 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-08-31 1 1 19,2021 19,2021 19,2021 19,2021 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-01 1 1 19,2625 19,2625 19,2625 19,2625 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-02 1 1 18,8623 18,8623 18,8623 18,8623 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-05 1 1 18,792 18,792 18,792 18,792 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-06 1 1 18,9804 18,9804 18,9804 18,9804 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-07 1 1 19,283 19,283 19,283 19,283 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-08 1 1 19,415 19,415 19,415 19,415 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-09 1 1 19,3951 19,3951 19,3951 19,3951 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-12 1 1 19,5195 19,5195 19,5195 19,5195 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-13 1 1 19,6743 19,6743 19,6743 19,6743 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-14 1 1 19,6725 19,6725 19,6725 19,6725 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-15 1 1 19,574 19,574 19,574 19,574 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-16 1 1 19,5036 19,5036 19,5036 19,5036 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-19 1 1 19,9512 19,9512 19,9512 19,9512 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-20 1 1 19,8829 19,8829 19,8829 19,8829 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-21 1 1 19,6205 19,6205 19,6205 19,6205 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-22 1 1 19,3187 19,3187 19,3187 19,3187 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-23 1 1 19,4654 19,4654 19,4654 19,4654 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-26 1 1 19,6657 19,6657 19,6657 19,6657 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-27 1 1 19,9692 19,9692 19,9692 19,9692 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-28 1 1 20,1172 20,1172 20,1172 20,1172 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-29 1 1 19,8566 19,8566 19,8566 19,8566 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-09-30 1 1 19,9924 19,9924 19,9924 19,9924 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-03 1 1 20,1633 20,1633 20,1633 20,1633 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-04 1 1 20,3174 20,3174 20,3174 20,3174 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-05 1 1 20,1295 20,1295 20,1295 20,1295 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-06 1 1 19,4798 19,4798 19,4798 19,4798 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-07 1 1 19,2911 19,2911 19,2911 19,2911 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-10 1 1 19,5521 19,5521 19,5521 19,5521 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-11 1 1 19,5972 19,5972 19,5972 19,5972 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-12 1 1 19,4096 19,4096 19,4096 19,4096 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-13 1 1 19,3107 19,3107 19,3107 19,3107 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-14 1 1 19,4026 19,4026 19,4026 19,4026 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-17 1 1 19,6561 19,6561 19,6561 19,6561 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-18 1 1 19,7198 19,7198 19,7198 19,7198 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-19 1 1 19,6017 19,6017 19,6017 19,6017 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-20 1 1 19,9684 19,9684 19,9684 19,9684 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-21 1 1 19,5917 19,5917 19,5917 19,5917 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-24 1 1 19,9069 19,9069 19,9069 19,9069 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-25 1 1 20,0107 20,0107 20,0107 20,0107 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-26 1 1 19,7591 19,7591 19,7591 19,7591 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-27 1 1 19,5217 19,5217 19,5217 19,5217 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-28 1 1 19,203 19,203 19,203 19,203 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-10-31 1 1 19,6695 19,6695 19,6695 19,6695 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-02 1 1 19,9957 19,9957 19,9957 19,9957 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-03 1 1 20,2708 20,2708 20,2708 20,2708 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-04 1 1 20,4557 20,4557 20,4557 20,4557 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-07 1 1 20,7029 20,7029 20,7029 20,7029 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-08 1 1 20,8829 20,8829 20,8829 20,8829 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-09 1 1 20,6318 20,6318 20,6318 20,6318 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-10 1 1 20,7914 20,7914 20,7914 20,7914 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-11 1 1 21,0215 21,0215 21,0215 21,0215 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-14 1 1 20,8477 20,8477 20,8477 20,8477 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-15 1 1 21,0195 21,0195 21,0195 21,0195 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-16 1 1 20,7631 20,7631 20,7631 20,7631 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-17 1 1 20,7948 20,7948 20,7948 20,7948 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-18 1 1 21,0271 21,0271 21,0271 21,0271 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-21 1 1 20,8092 20,8092 20,8092 20,8092 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-22 1 1 21,0583 21,0583 21,0583 21,0583 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-23 1 1 20,9601 20,9601 20,9601 20,9601 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-24 1 1 20,94 20,94 20,94 20,94 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-25 1 1 21,0253 21,0253 21,0253 21,0253 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-28 1 1 21,0011 21,0011 21,0011 21,0011 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-29 1 1 20,6375 20,6375 20,6375 20,6375 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-11-30 1 1 20,9147 20,9147 20,9147 20,9147 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-01 1 1 21,0734 21,0734 21,0734 21,0734 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-02 1 1 21,1931 21,1931 21,1931 21,1931 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-05 1 1 21,1751 21,1751 21,1751 21,1751 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-06 1 1 20,9296 20,9296 20,9296 20,9296 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-07 1 1 21,088 21,088 21,088 21,088 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-08 1 1 20,8605 20,8605 20,8605 20,8605 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-12 1 1 20,7159 20,7159 20,7159 20,7159 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-13 1 1 20,7367 20,7367 20,7367 20,7367 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-14 1 1 20,5477 20,5477 20,5477 20,5477 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-15 1 1 20,582 20,582 20,582 20,582 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-16 1 1 20,6247 20,6247 20,6247 20,6247 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-19 1 1 20,4225 20,4225 20,4225 20,4225 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-20 1 1 20,1488 20,1488 20,1488 20,1488 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-21 1 1 20,4416 20,4416 20,4416 20,4416 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-22 1 1 20,6303 20,6303 20,6303 20,6303 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-23 1 1 20,7147 20,7147 20,7147 20,7147 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-27 1 1 20,9216 20,9216 20,9216 20,9216 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-28 1 1 20,4704 20,4704 20,4704 20,4704 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-29 1 1 20,6451 20,6451 20,6451 20,6451 398156 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - American Small Cap SEK 2005-12-30 1 1 20,6869 20,6869 20,6869 20,6869 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-03 1 1 23,8237 23,8237 23,8237 23,8237 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-04 1 1 24,058 24,058 24,058 24,058 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-05 1 1 23,7303 23,7303 23,7303 23,7303 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-07 1 1 23,5556 23,5556 23,5556 23,5556 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-10 1 1 23,6781 23,6781 23,6781 23,6781 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-11 1 1 23,5771 23,5771 23,5771 23,5771 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-12 1 1 23,52 23,52 23,52 23,52 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-13 1 1 23,8062 23,8062 23,8062 23,8062 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-14 1 1 24,0001 24,0001 24,0001 24,0001 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-17 1 1 24,2558 24,2558 24,2558 24,2558 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-18 1 1 24,5339 24,5339 24,5339 24,5339 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-19 1 1 24,4314 24,4314 24,4314 24,4314 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-20 1 1 24,6868 24,6868 24,6868 24,6868 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-21 1 1 24,6162 24,6162 24,6162 24,6162 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-24 1 1 24,4888 24,4888 24,4888 24,4888 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-25 1 1 24,5497 24,5497 24,5497 24,5497 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-26 1 1 24,8258 24,8258 24,8258 24,8258 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-27 1 1 24,9971 24,9971 24,9971 24,9971 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-28 1 1 25,1963 25,1963 25,1963 25,1963 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-01-31 1 1 25,3966 25,3966 25,3966 25,3966 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-01 1 1 25,502 25,502 25,502 25,502 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-02 1 1 25,3401 25,3401 25,3401 25,3401 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-03 1 1 25,6717 25,6717 25,6717 25,6717 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-04 1 1 25,887 25,887 25,887 25,887 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-07 1 1 26,1663 26,1663 26,1663 26,1663 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-08 1 1 26,4608 26,4608 26,4608 26,4608 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-09 1 1 26,4648 26,4648 26,4648 26,4648 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-10 1 1 26,3214 26,3214 26,3214 26,3214 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-11 1 1 26,2532 26,2532 26,2532 26,2532 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-14 1 1 26,3048 26,3048 26,3048 26,3048 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-15 1 1 26,2664 26,2664 26,2664 26,2664 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-16 1 1 26,1465 26,1465 26,1465 26,1465 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-17 1 1 25,9828 25,9828 25,9828 25,9828 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-18 1 1 26,1847 26,1847 26,1847 26,1847 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-21 1 1 26,188 26,188 26,188 26,188 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-22 1 1 26,0119 26,0119 26,0119 26,0119 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-23 1 1 25,9505 25,9505 25,9505 25,9505 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-24 1 1 25,8516 25,8516 25,8516 25,8516 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-25 1 1 25,8644 25,8644 25,8644 25,8644 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-02-28 1 1 25,7393 25,7393 25,7393 25,7393 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-01 1 1 25,9102 25,9102 25,9102 25,9102 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-02 1 1 26,1427 26,1427 26,1427 26,1427 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-03 1 1 26,0926 26,0926 26,0926 26,0926 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-04 1 1 26,1047 26,1047 26,1047 26,1047 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-07 1 1 25,9475 25,9475 25,9475 25,9475 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-08 1 1 26,3184 26,3184 26,3184 26,3184 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-09 1 1 26,059 26,059 26,059 26,059 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-10 1 1 25,9721 25,9721 25,9721 25,9721 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-11 1 1 25,9492 25,9492 25,9492 25,9492 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-14 1 1 25,9958 25,9958 25,9958 25,9958 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-15 1 1 25,8461 25,8461 25,8461 25,8461 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-16 1 1 25,8499 25,8499 25,8499 25,8499 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-17 1 1 25,6285 25,6285 25,6285 25,6285 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-18 1 1 25,605 25,605 25,605 25,605 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-21 1 1 25,9482 25,9482 25,9482 25,9482 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-22 1 1 25,6532 25,6532 25,6532 25,6532 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-23 1 1 25,4812 25,4812 25,4812 25,4812 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-24 1 1 25,4137 25,4137 25,4137 25,4137 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-29 1 1 25,4632 25,4632 25,4632 25,4632 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-30 1 1 25,4753 25,4753 25,4753 25,4753 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-03-31 1 1 25,8413 25,8413 25,8413 25,8413 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-01 1 1 25,9358 25,9358 25,9358 25,9358 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-04 1 1 26,3943 26,3943 26,3943 26,3943 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-05 1 1 26,5967 26,5967 26,5967 26,5967 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-06 1 1 26,703 26,703 26,703 26,703 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-07 1 1 26,5219 26,5219 26,5219 26,5219 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-08 1 1 26,6977 26,6977 26,6977 26,6977 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-11 1 1 26,2887 26,2887 26,2887 26,2887 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-12 1 1 26,2974 26,2974 26,2974 26,2974 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-13 1 1 26,5915 26,5915 26,5915 26,5915 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-14 1 1 26,6299 26,6299 26,6299 26,6299 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-15 1 1 26,2979 26,2979 26,2979 26,2979 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-18 1 1 25,6066 25,6066 25,6066 25,6066 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-19 1 1 25,6913 25,6913 25,6913 25,6913 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-20 1 1 25,5534 25,5534 25,5534 25,5534 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-21 1 1 25,5561 25,5561 25,5561 25,5561 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-22 1 1 25,6225 25,6225 25,6225 25,6225 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-25 1 1 25,8912 25,8912 25,8912 25,8912 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-26 1 1 26,0418 26,0418 26,0418 26,0418 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-27 1 1 26,1016 26,1016 26,1016 26,1016 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-28 1 1 26,1383 26,1383 26,1383 26,1383 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-04-29 1 1 25,9278 25,9278 25,9278 25,9278 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-02 1 1 26,1818 26,1818 26,1818 26,1818 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-03 1 1 26,2121 26,2121 26,2121 26,2121 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-04 1 1 26,0811 26,0811 26,0811 26,0811 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-06 1 1 26,0179 26,0179 26,0179 26,0179 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-09 1 1 26,1667 26,1667 26,1667 26,1667 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-10 1 1 26,4747 26,4747 26,4747 26,4747 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-11 1 1 26,4205 26,4205 26,4205 26,4205 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-12 1 1 25,749 25,749 25,749 25,749 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-13 1 1 25,7569 25,7569 25,7569 25,7569 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-17 1 1 25,5331 25,5331 25,5331 25,5331 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-18 1 1 25,5799 25,5799 25,5799 25,5799 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-19 1 1 25,5583 25,5583 25,5583 25,5583 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-20 1 1 25,6569 25,6569 25,6569 25,6569 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-23 1 1 25,8386 25,8386 25,8386 25,8386 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-24 1 1 25,9715 25,9715 25,9715 25,9715 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-25 1 1 25,9273 25,9273 25,9273 25,9273 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-26 1 1 26,0699 26,0699 26,0699 26,0699 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-27 1 1 26,3119 26,3119 26,3119 26,3119 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-30 1 1 26,297 26,297 26,297 26,297 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-05-31 1 1 26,8547 26,8547 26,8547 26,8547 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-01 1 1 26,9357 26,9357 26,9357 26,9357 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-02 1 1 26,8196 26,8196 26,8196 26,8196 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-03 1 1 26,9929 26,9929 26,9929 26,9929 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-07 1 1 27,2007 27,2007 27,2007 27,2007 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-08 1 1 27,5482 27,5482 27,5482 27,5482 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-09 1 1 27,7528 27,7528 27,7528 27,7528 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-10 1 1 27,7666 27,7666 27,7666 27,7666 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-13 1 1 28,1687 28,1687 28,1687 28,1687 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-14 1 1 28,0457 28,0457 28,0457 28,0457 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-15 1 1 28,1339 28,1339 28,1339 28,1339 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-16 1 1 27,9969 27,9969 27,9969 27,9969 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-17 1 1 27,8353 27,8353 27,8353 27,8353 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-20 1 1 27,2307 27,2307 27,2307 27,2307 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-21 1 1 27,5377 27,5377 27,5377 27,5377 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-22 1 1 27,6098 27,6098 27,6098 27,6098 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-27 1 1 28,0516 28,0516 28,0516 28,0516 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-28 1 1 28,0644 28,0644 28,0644 28,0644 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-29 1 1 28,4324 28,4324 28,4324 28,4324 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-06-30 1 1 28,0334 28,0334 28,0334 28,0334 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-01 1 1 28,3198 28,3198 28,3198 28,3198 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-04 1 1 28,9217 28,9217 28,9217 28,9217 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-05 1 1 28,6633 28,6633 28,6633 28,6633 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-06 1 1 28,6643 28,6643 28,6643 28,6643 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-07 1 1 28,0767 28,0767 28,0767 28,0767 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-08 1 1 28,4687 28,4687 28,4687 28,4687 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-11 1 1 28,7013 28,7013 28,7013 28,7013 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-12 1 1 28,2907 28,2907 28,2907 28,2907 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-13 1 1 28,2857 28,2857 28,2857 28,2857 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-14 1 1 28,6421 28,6421 28,6421 28,6421 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-15 1 1 28,6841 28,6841 28,6841 28,6841 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-18 1 1 28,8065 28,8065 28,8065 28,8065 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-19 1 1 29,0001 29,0001 29,0001 29,0001 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-20 1 1 28,9579 28,9579 28,9579 28,9579 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-21 1 1 28,8241 28,8241 28,8241 28,8241 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-22 1 1 29,1128 29,1128 29,1128 29,1128 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-25 1 1 29,2948 29,2948 29,2948 29,2948 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-26 1 1 29,5534 29,5534 29,5534 29,5534 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-27 1 1 29,5508 29,5508 29,5508 29,5508 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-28 1 1 29,2361 29,2361 29,2361 29,2361 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-07-29 1 1 29,2801 29,2801 29,2801 29,2801 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-01 1 1 29,1115 29,1115 29,1115 29,1115 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-02 1 1 29,3443 29,3443 29,3443 29,3443 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-03 1 1 28,9821 28,9821 28,9821 28,9821 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-04 1 1 28,9989 28,9989 28,9989 28,9989 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-05 1 1 28,7535 28,7535 28,7535 28,7535 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-08 1 1 28,6806 28,6806 28,6806 28,6806 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-09 1 1 28,6522 28,6522 28,6522 28,6522 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-10 1 1 28,8056 28,8056 28,8056 28,8056 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-11 1 1 28,7489 28,7489 28,7489 28,7489 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-12 1 1 28,522 28,522 28,522 28,522 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-16 1 1 28,9163 28,9163 28,9163 28,9163 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-17 1 1 29,3372 29,3372 29,3372 29,3372 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-18 1 1 29,226 29,226 29,226 29,226 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-19 1 1 29,2889 29,2889 29,2889 29,2889 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-22 1 1 29,6278 29,6278 29,6278 29,6278 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-23 1 1 29,2322 29,2322 29,2322 29,2322 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-24 1 1 28,8708 28,8708 28,8708 28,8708 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-25 1 1 28,6859 28,6859 28,6859 28,6859 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-26 1 1 29,0092 29,0092 29,0092 29,0092 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-29 1 1 28,577 28,577 28,577 28,577 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-30 1 1 29,0491 29,0491 29,0491 29,0491 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-08-31 1 1 29,2925 29,2925 29,2925 29,2925 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-01 1 1 28,9264 28,9264 28,9264 28,9264 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-02 1 1 28,341 28,341 28,341 28,341 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-05 1 1 28,4638 28,4638 28,4638 28,4638 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-06 1 1 28,5758 28,5758 28,5758 28,5758 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-07 1 1 28,641 28,641 28,641 28,641 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-08 1 1 28,9851 28,9851 28,9851 28,9851 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-09 1 1 29,04 29,04 29,04 29,04 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-12 1 1 29,46 29,46 29,46 29,46 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-13 1 1 29,5382 29,5382 29,5382 29,5382 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-14 1 1 29,5206 29,5206 29,5206 29,5206 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-15 1 1 29,8709 29,8709 29,8709 29,8709 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-16 1 1 29,8305 29,8305 29,8305 29,8305 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-19 1 1 30,2225 30,2225 30,2225 30,2225 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-20 1 1 30,3409 30,3409 30,3409 30,3409 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-21 1 1 30,0251 30,0251 30,0251 30,0251 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-22 1 1 29,3464 29,3464 29,3464 29,3464 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-23 1 1 29,6645 29,6645 29,6645 29,6645 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-26 1 1 30,1146 30,1146 30,1146 30,1146 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-27 1 1 30,2976 30,2976 30,2976 30,2976 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-28 1 1 30,5714 30,5714 30,5714 30,5714 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-29 1 1 30,7017 30,7017 30,7017 30,7017 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-09-30 1 1 30,7636 30,7636 30,7636 30,7636 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-03 1 1 31,1834 31,1834 31,1834 31,1834 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-04 1 1 31,3911 31,3911 31,3911 31,3911 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-05 1 1 31,0961 31,0961 31,0961 31,0961 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-06 1 1 30,5158 30,5158 30,5158 30,5158 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-07 1 1 30,225 30,225 30,225 30,225 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-10 1 1 30,0061 30,0061 30,0061 30,0061 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-11 1 1 30,2331 30,2331 30,2331 30,2331 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-12 1 1 30,2684 30,2684 30,2684 30,2684 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-13 1 1 30,1282 30,1282 30,1282 30,1282 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-14 1 1 29,8652 29,8652 29,8652 29,8652 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-17 1 1 29,7088 29,7088 29,7088 29,7088 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-18 1 1 30,0105 30,0105 30,0105 30,0105 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-19 1 1 29,3577 29,3577 29,3577 29,3577 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-20 1 1 29,3971 29,3971 29,3971 29,3971 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-21 1 1 29,3977 29,3977 29,3977 29,3977 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-24 1 1 29,5384 29,5384 29,5384 29,5384 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-25 1 1 29,2161 29,2161 29,2161 29,2161 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-26 1 1 28,8904 28,8904 28,8904 28,8904 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-27 1 1 28,6194 28,6194 28,6194 28,6194 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-28 1 1 28,0665 28,0665 28,0665 28,0665 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-10-31 1 1 28,9604 28,9604 28,9604 28,9604 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-02 1 1 29,8431 29,8431 29,8431 29,8431 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-03 1 1 29,8949 29,8949 29,8949 29,8949 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-04 1 1 30,1667 30,1667 30,1667 30,1667 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-07 1 1 30,7776 30,7776 30,7776 30,7776 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-08 1 1 31,1183 31,1183 31,1183 31,1183 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-09 1 1 31,0217 31,0217 31,0217 31,0217 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-10 1 1 31,493 31,493 31,493 31,493 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-11 1 1 31,6045 31,6045 31,6045 31,6045 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-14 1 1 31,2793 31,2793 31,2793 31,2793 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-15 1 1 31,7133 31,7133 31,7133 31,7133 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-16 1 1 31,5212 31,5212 31,5212 31,5212 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-17 1 1 31,5886 31,5886 31,5886 31,5886 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-18 1 1 31,6523 31,6523 31,6523 31,6523 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-21 1 1 31,1975 31,1975 31,1975 31,1975 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-22 1 1 31,2834 31,2834 31,2834 31,2834 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-23 1 1 31,1061 31,1061 31,1061 31,1061 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-24 1 1 31,248 31,248 31,248 31,248 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-25 1 1 31,4712 31,4712 31,4712 31,4712 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-28 1 1 31,61 31,61 31,61 31,61 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-29 1 1 31,3223 31,3223 31,3223 31,3223 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-11-30 1 1 31,7997 31,7997 31,7997 31,7997 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-01 1 1 32,0616 32,0616 32,0616 32,0616 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-02 1 1 32,2154 32,2154 32,2154 32,2154 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-05 1 1 32,2053 32,2053 32,2053 32,2053 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-06 1 1 31,8788 31,8788 31,8788 31,8788 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-07 1 1 32,1627 32,1627 32,1627 32,1627 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-08 1 1 31,9711 31,9711 31,9711 31,9711 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-12 1 1 32,2237 32,2237 32,2237 32,2237 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-13 1 1 32,4958 32,4958 32,4958 32,4958 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-14 1 1 32,3502 32,3502 32,3502 32,3502 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-15 1 1 32,2858 32,2858 32,2858 32,2858 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-16 1 1 32,272 32,272 32,272 32,272 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-19 1 1 32,3602 32,3602 32,3602 32,3602 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-20 1 1 32,388 32,388 32,388 32,388 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-21 1 1 32,8866 32,8866 32,8866 32,8866 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-22 1 1 33,1899 33,1899 33,1899 33,1899 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-23 1 1 33,2516 33,2516 33,2516 33,2516 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-27 1 1 33,3436 33,3436 33,3436 33,3436 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-28 1 1 33,1367 33,1367 33,1367 33,1367 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-29 1 1 33,3011 33,3011 33,3011 33,3011 362327 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Asian Small Cap SEK 2005-12-30 1 1 33,6671 33,6671 33,6671 33,6671 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-03 1 1 7,4536 7,4536 7,4536 7,4536 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-04 1 1 7,4921 7,4921 7,4921 7,4921 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-05 1 1 7,4822 7,4822 7,4822 7,4822 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-07 1 1 7,5095 7,5095 7,5095 7,5095 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-10 1 1 7,5379 7,5379 7,5379 7,5379 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-11 1 1 7,5115 7,5115 7,5115 7,5115 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-12 1 1 7,4864 7,4864 7,4864 7,4864 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-13 1 1 7,4586 7,4586 7,4586 7,4586 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-14 1 1 7,4569 7,4569 7,4569 7,4569 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-17 1 1 7,5195 7,5195 7,5195 7,5195 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-18 1 1 7,5021 7,5021 7,5021 7,5021 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-19 1 1 7,5311 7,5311 7,5311 7,5311 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-20 1 1 7,4851 7,4851 7,4851 7,4851 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-21 1 1 7,4867 7,4867 7,4867 7,4867 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-24 1 1 7,4834 7,4834 7,4834 7,4834 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-25 1 1 7,5244 7,5244 7,5244 7,5244 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-26 1 1 7,5721 7,5721 7,5721 7,5721 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-27 1 1 7,5687 7,5687 7,5687 7,5687 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-28 1 1 7,5996 7,5996 7,5996 7,5996 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-01-31 1 1 7,6344 7,6344 7,6344 7,6344 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-01 1 1 7,6408 7,6408 7,6408 7,6408 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-02 1 1 7,6752 7,6752 7,6752 7,6752 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-03 1 1 7,6857 7,6857 7,6857 7,6857 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-04 1 1 7,7305 7,7305 7,7305 7,7305 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-07 1 1 7,7877 7,7877 7,7877 7,7877 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-08 1 1 7,8092 7,8092 7,8092 7,8092 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-09 1 1 7,7956 7,7956 7,7956 7,7956 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-10 1 1 7,7869 7,7869 7,7869 7,7869 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-11 1 1 7,8299 7,8299 7,8299 7,8299 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-14 1 1 7,8878 7,8878 7,8878 7,8878 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-15 1 1 7,873 7,873 7,873 7,873 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-16 1 1 7,877 7,877 7,877 7,877 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-17 1 1 7,9191 7,9191 7,9191 7,9191 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-18 1 1 7,9132 7,9132 7,9132 7,9132 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-21 1 1 7,9266 7,9266 7,9266 7,9266 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-22 1 1 7,8536 7,8536 7,8536 7,8536 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-23 1 1 7,7931 7,7931 7,7931 7,7931 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-24 1 1 7,796 7,796 7,796 7,796 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-25 1 1 7,8569 7,8569 7,8569 7,8569 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-02-28 1 1 7,8602 7,8602 7,8602 7,8602 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-01 1 1 7,8729 7,8729 7,8729 7,8729 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-02 1 1 7,8787 7,8787 7,8787 7,8787 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-03 1 1 7,8886 7,8886 7,8886 7,8886 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-04 1 1 7,8832 7,8832 7,8832 7,8832 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-07 1 1 7,9235 7,9235 7,9235 7,9235 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-08 1 1 7,9068 7,9068 7,9068 7,9068 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-09 1 1 7,901 7,901 7,901 7,901 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-10 1 1 7,8075 7,8075 7,8075 7,8075 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-11 1 1 7,8242 7,8242 7,8242 7,8242 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-14 1 1 7,8047 7,8047 7,8047 7,8047 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-15 1 1 7,8774 7,8774 7,8774 7,8774 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-16 1 1 7,8801 7,8801 7,8801 7,8801 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-17 1 1 7,8083 7,8083 7,8083 7,8083 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-18 1 1 7,8172 7,8172 7,8172 7,8172 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-21 1 1 7,8579 7,8579 7,8579 7,8579 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-22 1 1 7,82 7,82 7,82 7,82 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-23 1 1 7,7835 7,7835 7,7835 7,7835 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-24 1 1 7,8245 7,8245 7,8245 7,8245 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-29 1 1 7,8548 7,8548 7,8548 7,8548 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-30 1 1 7,8721 7,8721 7,8721 7,8721 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-03-31 1 1 7,9195 7,9195 7,9195 7,9195 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-01 1 1 7,9271 7,9271 7,9271 7,9271 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-04 1 1 7,8993 7,8993 7,8993 7,8993 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-05 1 1 7,9427 7,9427 7,9427 7,9427 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-06 1 1 7,9797 7,9797 7,9797 7,9797 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-07 1 1 7,9943 7,9943 7,9943 7,9943 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-08 1 1 8,0534 8,0534 8,0534 8,0534 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-11 1 1 8,0311 8,0311 8,0311 8,0311 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-12 1 1 8,0029 8,0029 8,0029 8,0029 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-13 1 1 8,0352 8,0352 8,0352 8,0352 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-14 1 1 8,0305 8,0305 8,0305 8,0305 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-15 1 1 7,9675 7,9675 7,9675 7,9675 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-18 1 1 7,7931 7,7931 7,7931 7,7931 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-19 1 1 7,8593 7,8593 7,8593 7,8593 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-20 1 1 7,8837 7,8837 7,8837 7,8837 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-21 1 1 7,8383 7,8383 7,8383 7,8383 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-22 1 1 7,8491 7,8491 7,8491 7,8491 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-25 1 1 7,8418 7,8418 7,8418 7,8418 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-26 1 1 7,8226 7,8226 7,8226 7,8226 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-27 1 1 7,7505 7,7505 7,7505 7,7505 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-28 1 1 7,7283 7,7283 7,7283 7,7283 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-04-29 1 1 7,7237 7,7237 7,7237 7,7237 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-02 1 1 7,7838 7,7838 7,7838 7,7838 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-03 1 1 7,8296 7,8296 7,8296 7,8296 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-04 1 1 7,7891 7,7891 7,7891 7,7891 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-06 1 1 7,8316 7,8316 7,8316 7,8316 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-09 1 1 7,8689 7,8689 7,8689 7,8689 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-10 1 1 7,8961 7,8961 7,8961 7,8961 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-11 1 1 7,8423 7,8423 7,8423 7,8423 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-12 1 1 7,8899 7,8899 7,8899 7,8899 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-13 1 1 7,8427 7,8427 7,8427 7,8427 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-17 1 1 7,8574 7,8574 7,8574 7,8574 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-18 1 1 7,9128 7,9128 7,9128 7,9128 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-19 1 1 7,9566 7,9566 7,9566 7,9566 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-20 1 1 7,9704 7,9704 7,9704 7,9704 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-23 1 1 7,9852 7,9852 7,9852 7,9852 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-24 1 1 8,0068 8,0068 8,0068 8,0068 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-25 1 1 8,0018 8,0018 8,0018 8,0018 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-26 1 1 8,0704 8,0704 8,0704 8,0704 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-27 1 1 8,0683 8,0683 8,0683 8,0683 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-30 1 1 8,096 8,096 8,096 8,096 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-05-31 1 1 8,1031 8,1031 8,1031 8,1031 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-01 1 1 8,1049 8,1049 8,1049 8,1049 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-02 1 1 8,1862 8,1862 8,1862 8,1862 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-03 1 1 8,1712 8,1712 8,1712 8,1712 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-07 1 1 8,1519 8,1519 8,1519 8,1519 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-08 1 1 8,2115 8,2115 8,2115 8,2115 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-09 1 1 8,2111 8,2111 8,2111 8,2111 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-10 1 1 8,3284 8,3284 8,3284 8,3284 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-13 1 1 8,3569 8,3569 8,3569 8,3569 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-14 1 1 8,3922 8,3922 8,3922 8,3922 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-15 1 1 8,4025 8,4025 8,4025 8,4025 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-16 1 1 8,4097 8,4097 8,4097 8,4097 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-17 1 1 8,4439 8,4439 8,4439 8,4439 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-20 1 1 8,3612 8,3612 8,3612 8,3612 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-21 1 1 8,4367 8,4367 8,4367 8,4367 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-22 1 1 8,4735 8,4735 8,4735 8,4735 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-27 1 1 8,4787 8,4787 8,4787 8,4787 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-28 1 1 8,5348 8,5348 8,5348 8,5348 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-29 1 1 8,6083 8,6083 8,6083 8,6083 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-06-30 1 1 8,5946 8,5946 8,5946 8,5946 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-01 1 1 8,6523 8,6523 8,6523 8,6523 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-04 1 1 8,7172 8,7172 8,7172 8,7172 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-05 1 1 8,667 8,667 8,667 8,667 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-06 1 1 8,6981 8,6981 8,6981 8,6981 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-07 1 1 8,4624 8,4624 8,4624 8,4624 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-08 1 1 8,6856 8,6856 8,6856 8,6856 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-11 1 1 8,784 8,784 8,784 8,784 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-12 1 1 8,7656 8,7656 8,7656 8,7656 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-13 1 1 8,7048 8,7048 8,7048 8,7048 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-14 1 1 8,7853 8,7853 8,7853 8,7853 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-15 1 1 8,8078 8,8078 8,8078 8,8078 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-18 1 1 8,7703 8,7703 8,7703 8,7703 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-19 1 1 8,8043 8,8043 8,8043 8,8043 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-20 1 1 8,8135 8,8135 8,8135 8,8135 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-21 1 1 8,8771 8,8771 8,8771 8,8771 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-22 1 1 8,8411 8,8411 8,8411 8,8411 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-25 1 1 8,8058 8,8058 8,8058 8,8058 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-26 1 1 8,8481 8,8481 8,8481 8,8481 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-27 1 1 8,8679 8,8679 8,8679 8,8679 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-28 1 1 8,8591 8,8591 8,8591 8,8591 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-07-29 1 1 8,9235 8,9235 8,9235 8,9235 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-01 1 1 8,9172 8,9172 8,9172 8,9172 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-02 1 1 8,9037 8,9037 8,9037 8,9037 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-03 1 1 8,9313 8,9313 8,9313 8,9313 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-04 1 1 8,8708 8,8708 8,8708 8,8708 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-05 1 1 8,8162 8,8162 8,8162 8,8162 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-08 1 1 8,821 8,821 8,821 8,821 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-09 1 1 8,8325 8,8325 8,8325 8,8325 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-10 1 1 8,9416 8,9416 8,9416 8,9416 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-11 1 1 8,9298 8,9298 8,9298 8,9298 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-12 1 1 8,9157 8,9157 8,9157 8,9157 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-16 1 1 8,9536 8,9536 8,9536 8,9536 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-17 1 1 8,8998 8,8998 8,8998 8,8998 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-18 1 1 8,8692 8,8692 8,8692 8,8692 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-19 1 1 8,9334 8,9334 8,9334 8,9334 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-22 1 1 8,9943 8,9943 8,9943 8,9943 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-23 1 1 8,9335 8,9335 8,9335 8,9335 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-24 1 1 8,8546 8,8546 8,8546 8,8546 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-25 1 1 8,7886 8,7886 8,7886 8,7886 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-26 1 1 8,8327 8,8327 8,8327 8,8327 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-29 1 1 8,7128 8,7128 8,7128 8,7128 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-30 1 1 8,793 8,793 8,793 8,793 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-08-31 1 1 8,8139 8,8139 8,8139 8,8139 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-01 1 1 8,8874 8,8874 8,8874 8,8874 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-02 1 1 8,8322 8,8322 8,8322 8,8322 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-05 1 1 8,8759 8,8759 8,8759 8,8759 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-06 1 1 8,9688 8,9688 8,9688 8,9688 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-07 1 1 9,0312 9,0312 9,0312 9,0312 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-08 1 1 9,058 9,058 9,058 9,058 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-09 1 1 9,06 9,06 9,06 9,06 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-12 1 1 9,0686 9,0686 9,0686 9,0686 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-13 1 1 9,0008 9,0008 9,0008 9,0008 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-14 1 1 9,0638 9,0638 9,0638 9,0638 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-15 1 1 9,064 9,064 9,064 9,064 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-16 1 1 9,1228 9,1228 9,1228 9,1228 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-19 1 1 9,1232 9,1232 9,1232 9,1232 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-20 1 1 9,1556 9,1556 9,1556 9,1556 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-21 1 1 9,091 9,091 9,091 9,091 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-22 1 1 9,0383 9,0383 9,0383 9,0383 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-23 1 1 9,0601 9,0601 9,0601 9,0601 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-26 1 1 9,1589 9,1589 9,1589 9,1589 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-27 1 1 9,1991 9,1991 9,1991 9,1991 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-28 1 1 9,2425 9,2425 9,2425 9,2425 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-29 1 1 9,2354 9,2354 9,2354 9,2354 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-09-30 1 1 9,1867 9,1867 9,1867 9,1867 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-03 1 1 9,2201 9,2201 9,2201 9,2201 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-04 1 1 9,2686 9,2686 9,2686 9,2686 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-05 1 1 9,2002 9,2002 9,2002 9,2002 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-06 1 1 9,0712 9,0712 9,0712 9,0712 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-07 1 1 9,0488 9,0488 9,0488 9,0488 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-10 1 1 9,1206 9,1206 9,1206 9,1206 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-11 1 1 9,1334 9,1334 9,1334 9,1334 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-12 1 1 9,0465 9,0465 9,0465 9,0465 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-13 1 1 8,9617 8,9617 8,9617 8,9617 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-14 1 1 8,9667 8,9667 8,9667 8,9667 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-17 1 1 9,0618 9,0618 9,0618 9,0618 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-18 1 1 9,0777 9,0777 9,0777 9,0777 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-19 1 1 8,9213 8,9213 8,9213 8,9213 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-20 1 1 8,9995 8,9995 8,9995 8,9995 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-21 1 1 8,9121 8,9121 8,9121 8,9121 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-24 1 1 9,019 9,019 9,019 9,019 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-25 1 1 9,053 9,053 9,053 9,053 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-26 1 1 9,0516 9,0516 9,0516 9,0516 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-27 1 1 8,9587 8,9587 8,9587 8,9587 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-28 1 1 8,874 8,874 8,874 8,874 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-10-31 1 1 9,0909 9,0909 9,0909 9,0909 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-02 1 1 9,2457 9,2457 9,2457 9,2457 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-03 1 1 9,3821 9,3821 9,3821 9,3821 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-04 1 1 9,4146 9,4146 9,4146 9,4146 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-07 1 1 9,403 9,403 9,403 9,403 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-08 1 1 9,4529 9,4529 9,4529 9,4529 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-09 1 1 9,3894 9,3894 9,3894 9,3894 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-10 1 1 9,4521 9,4521 9,4521 9,4521 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-11 1 1 9,4982 9,4982 9,4982 9,4982 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-14 1 1 9,499 9,499 9,499 9,499 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-15 1 1 9,5055 9,5055 9,5055 9,5055 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-16 1 1 9,4109 9,4109 9,4109 9,4109 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-17 1 1 9,5301 9,5301 9,5301 9,5301 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-18 1 1 9,5732 9,5732 9,5732 9,5732 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-21 1 1 9,4875 9,4875 9,4875 9,4875 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-22 1 1 9,5122 9,5122 9,5122 9,5122 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-23 1 1 9,5281 9,5281 9,5281 9,5281 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-24 1 1 9,4994 9,4994 9,4994 9,4994 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-25 1 1 9,5235 9,5235 9,5235 9,5235 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-28 1 1 9,5303 9,5303 9,5303 9,5303 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-29 1 1 9,4413 9,4413 9,4413 9,4413 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-11-30 1 1 9,4861 9,4861 9,4861 9,4861 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-01 1 1 9,5355 9,5355 9,5355 9,5355 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-02 1 1 9,5742 9,5742 9,5742 9,5742 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-05 1 1 9,6033 9,6033 9,6033 9,6033 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-06 1 1 9,5867 9,5867 9,5867 9,5867 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-07 1 1 9,6755 9,6755 9,6755 9,6755 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-08 1 1 9,6201 9,6201 9,6201 9,6201 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-12 1 1 9,7057 9,7057 9,7057 9,7057 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-13 1 1 9,6695 9,6695 9,6695 9,6695 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-14 1 1 9,6364 9,6364 9,6364 9,6364 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-15 1 1 9,6119 9,6119 9,6119 9,6119 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-16 1 1 9,7368 9,7368 9,7368 9,7368 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-19 1 1 9,6685 9,6685 9,6685 9,6685 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-20 1 1 9,6187 9,6187 9,6187 9,6187 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-21 1 1 9,7267 9,7267 9,7267 9,7267 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-22 1 1 9,6946 9,6946 9,6946 9,6946 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-23 1 1 9,7292 9,7292 9,7292 9,7292 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-27 1 1 9,7876 9,7876 9,7876 9,7876 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-28 1 1 9,7414 9,7414 9,7414 9,7414 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-29 1 1 9,7367 9,7367 9,7367 9,7367 515320 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Europe SEK 2005-12-30 1 1 9,6885 9,6885 9,6885 9,6885 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-03 1 1 14,9043 14,9043 14,9043 14,9043 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-04 1 1 15,0319 15,0319 15,0319 15,0319 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-05 1 1 14,9683 14,9683 14,9683 14,9683 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-07 1 1 14,8376 14,8376 14,8376 14,8376 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-10 1 1 14,9492 14,9492 14,9492 14,9492 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-11 1 1 14,92 14,92 14,92 14,92 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-12 1 1 14,951 14,951 14,951 14,951 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-13 1 1 14,9207 14,9207 14,9207 14,9207 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-14 1 1 14,9903 14,9903 14,9903 14,9903 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-17 1 1 15,1962 15,1962 15,1962 15,1962 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-18 1 1 15,2187 15,2187 15,2187 15,2187 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-19 1 1 15,1609 15,1609 15,1609 15,1609 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-20 1 1 15,2062 15,2062 15,2062 15,2062 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-21 1 1 15,1687 15,1687 15,1687 15,1687 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-24 1 1 15,1147 15,1147 15,1147 15,1147 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-25 1 1 15,198 15,198 15,198 15,198 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-26 1 1 15,3536 15,3536 15,3536 15,3536 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-27 1 1 15,3831 15,3831 15,3831 15,3831 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-28 1 1 15,4066 15,4066 15,4066 15,4066 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-01-31 1 1 15,5573 15,5573 15,5573 15,5573 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-01 1 1 15,4817 15,4817 15,4817 15,4817 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-02 1 1 15,5016 15,5016 15,5016 15,5016 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-03 1 1 15,5982 15,5982 15,5982 15,5982 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-04 1 1 15,6679 15,6679 15,6679 15,6679 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-07 1 1 15,9364 15,9364 15,9364 15,9364 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-08 1 1 16,0357 16,0357 16,0357 16,0357 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-09 1 1 15,9501 15,9501 15,9501 15,9501 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-10 1 1 16,02 16,02 16,02 16,02 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-11 1 1 15,9938 15,9938 15,9938 15,9938 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-14 1 1 16,0461 16,0461 16,0461 16,0461 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-15 1 1 16,0079 16,0079 16,0079 16,0079 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-16 1 1 15,94 15,94 15,94 15,94 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-17 1 1 15,9459 15,9459 15,9459 15,9459 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-18 1 1 16,0066 16,0066 16,0066 16,0066 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-21 1 1 16,0856 16,0856 16,0856 16,0856 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-22 1 1 15,9478 15,9478 15,9478 15,9478 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-23 1 1 15,8256 15,8256 15,8256 15,8256 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-24 1 1 15,7443 15,7443 15,7443 15,7443 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-25 1 1 15,9248 15,9248 15,9248 15,9248 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-02-28 1 1 15,9981 15,9981 15,9981 15,9981 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-01 1 1 16,0802 16,0802 16,0802 16,0802 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-02 1 1 16,0489 16,0489 16,0489 16,0489 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-03 1 1 16,0588 16,0588 16,0588 16,0588 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-04 1 1 16,0174 16,0174 16,0174 16,0174 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-07 1 1 16,0318 16,0318 16,0318 16,0318 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-08 1 1 16,0252 16,0252 16,0252 16,0252 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-09 1 1 15,9498 15,9498 15,9498 15,9498 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-10 1 1 15,7643 15,7643 15,7643 15,7643 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-11 1 1 15,8035 15,8035 15,8035 15,8035 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-14 1 1 15,8129 15,8129 15,8129 15,8129 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-15 1 1 15,7333 15,7333 15,7333 15,7333 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-16 1 1 15,8557 15,8557 15,8557 15,8557 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-17 1 1 15,7892 15,7892 15,7892 15,7892 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-18 1 1 15,8753 15,8753 15,8753 15,8753 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-21 1 1 16,0252 16,0252 16,0252 16,0252 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-22 1 1 15,9254 15,9254 15,9254 15,9254 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-23 1 1 15,815 15,815 15,815 15,815 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-24 1 1 15,7354 15,7354 15,7354 15,7354 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-29 1 1 15,7077 15,7077 15,7077 15,7077 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-30 1 1 15,6008 15,6008 15,6008 15,6008 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-03-31 1 1 15,79 15,79 15,79 15,79 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-01 1 1 15,9741 15,9741 15,9741 15,9741 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-04 1 1 16,0152 16,0152 16,0152 16,0152 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-05 1 1 16,0671 16,0671 16,0671 16,0671 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-06 1 1 15,9832 15,9832 15,9832 15,9832 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-07 1 1 15,9643 15,9643 15,9643 15,9643 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-08 1 1 16,1733 16,1733 16,1733 16,1733 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-11 1 1 16,0291 16,0291 16,0291 16,0291 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-12 1 1 15,983 15,983 15,983 15,983 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-13 1 1 16,0845 16,0845 16,0845 16,0845 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-14 1 1 15,9603 15,9603 15,9603 15,9603 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-15 1 1 15,747 15,747 15,747 15,747 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-18 1 1 15,2938 15,2938 15,2938 15,2938 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-19 1 1 15,4466 15,4466 15,4466 15,4466 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-20 1 1 15,4843 15,4843 15,4843 15,4843 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-21 1 1 15,441 15,441 15,441 15,441 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-22 1 1 15,5527 15,5527 15,5527 15,5527 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-25 1 1 15,7098 15,7098 15,7098 15,7098 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-26 1 1 15,7083 15,7083 15,7083 15,7083 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-27 1 1 15,6853 15,6853 15,6853 15,6853 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-28 1 1 15,6647 15,6647 15,6647 15,6647 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-04-29 1 1 15,6357 15,6357 15,6357 15,6357 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-02 1 1 15,82 15,82 15,82 15,82 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-03 1 1 15,839 15,839 15,839 15,839 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-04 1 1 15,7336 15,7336 15,7336 15,7336 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-06 1 1 15,9669 15,9669 15,9669 15,9669 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-09 1 1 16,1107 16,1107 16,1107 16,1107 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-10 1 1 16,1068 16,1068 16,1068 16,1068 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-11 1 1 16,0719 16,0719 16,0719 16,0719 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-12 1 1 16,6915 16,6915 16,6915 16,6915 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-13 1 1 16,2101 16,2101 16,2101 16,2101 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-17 1 1 16,093 16,093 16,093 16,093 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-18 1 1 16,1334 16,1334 16,1334 16,1334 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-19 1 1 16,3091 16,3091 16,3091 16,3091 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-20 1 1 16,333 16,333 16,333 16,333 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-23 1 1 16,3772 16,3772 16,3772 16,3772 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-24 1 1 16,4454 16,4454 16,4454 16,4454 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-25 1 1 16,304 16,304 16,304 16,304 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-26 1 1 16,4004 16,4004 16,4004 16,4004 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-27 1 1 16,5542 16,5542 16,5542 16,5542 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-30 1 1 16,6298 16,6298 16,6298 16,6298 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-05-31 1 1 16,6567 16,6567 16,6567 16,6567 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-01 1 1 16,7435 16,7435 16,7435 16,7435 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-02 1 1 16,8324 16,8324 16,8324 16,8324 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-03 1 1 16,9237 16,9237 16,9237 16,9237 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-07 1 1 17,0167 17,0167 17,0167 17,0167 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-08 1 1 17,1093 17,1093 17,1093 17,1093 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-09 1 1 17,2816 17,2816 17,2816 17,2816 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-10 1 1 17,4465 17,4465 17,4465 17,4465 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-13 1 1 17,6962 17,6962 17,6962 17,6962 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-14 1 1 17,6458 17,6458 17,6458 17,6458 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-15 1 1 17,8144 17,8144 17,8144 17,8144 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-16 1 1 17,8461 17,8461 17,8461 17,8461 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-17 1 1 17,9691 17,9691 17,9691 17,9691 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-20 1 1 17,8187 17,8187 17,8187 17,8187 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-21 1 1 17,9665 17,9665 17,9665 17,9665 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-22 1 1 18,0247 18,0247 18,0247 18,0247 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-27 1 1 18,0639 18,0639 18,0639 18,0639 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-28 1 1 18,1855 18,1855 18,1855 18,1855 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-29 1 1 18,2137 18,2137 18,2137 18,2137 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-06-30 1 1 18,1666 18,1666 18,1666 18,1666 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-01 1 1 18,2496 18,2496 18,2496 18,2496 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-04 1 1 18,4541 18,4541 18,4541 18,4541 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-05 1 1 18,2805 18,2805 18,2805 18,2805 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-06 1 1 18,1898 18,1898 18,1898 18,1898 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-07 1 1 18,0022 18,0022 18,0022 18,0022 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-08 1 1 18,0946 18,0946 18,0946 18,0946 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-11 1 1 18,311 18,311 18,311 18,311 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-12 1 1 18,1669 18,1669 18,1669 18,1669 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-13 1 1 18,1108 18,1108 18,1108 18,1108 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-14 1 1 18,3393 18,3393 18,3393 18,3393 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-15 1 1 18,3338 18,3338 18,3338 18,3338 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-18 1 1 18,3974 18,3974 18,3974 18,3974 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-19 1 1 18,5859 18,5859 18,5859 18,5859 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-20 1 1 18,5346 18,5346 18,5346 18,5346 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-21 1 1 18,7434 18,7434 18,7434 18,7434 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-22 1 1 18,8765 18,8765 18,8765 18,8765 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-25 1 1 18,9151 18,9151 18,9151 18,9151 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-26 1 1 18,9988 18,9988 18,9988 18,9988 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-27 1 1 18,9993 18,9993 18,9993 18,9993 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-28 1 1 18,8511 18,8511 18,8511 18,8511 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-07-29 1 1 18,9447 18,9447 18,9447 18,9447 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-01 1 1 18,8265 18,8265 18,8265 18,8265 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-02 1 1 18,9073 18,9073 18,9073 18,9073 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-03 1 1 18,8331 18,8331 18,8331 18,8331 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-04 1 1 18,8785 18,8785 18,8785 18,8785 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-05 1 1 18,6495 18,6495 18,6495 18,6495 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-08 1 1 18,5963 18,5963 18,5963 18,5963 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-09 1 1 18,621 18,621 18,621 18,621 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-10 1 1 18,6949 18,6949 18,6949 18,6949 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-11 1 1 18,7864 18,7864 18,7864 18,7864 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-12 1 1 18,7053 18,7053 18,7053 18,7053 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-16 1 1 18,7756 18,7756 18,7756 18,7756 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-17 1 1 18,8343 18,8343 18,8343 18,8343 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-18 1 1 18,597 18,597 18,597 18,597 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-19 1 1 18,6178 18,6178 18,6178 18,6178 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-22 1 1 18,9134 18,9134 18,9134 18,9134 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-23 1 1 18,728 18,728 18,728 18,728 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-24 1 1 18,4691 18,4691 18,4691 18,4691 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-25 1 1 18,3765 18,3765 18,3765 18,3765 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-26 1 1 18,3831 18,3831 18,3831 18,3831 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-29 1 1 18,073 18,073 18,073 18,073 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-30 1 1 18,285 18,285 18,285 18,285 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-08-31 1 1 18,3442 18,3442 18,3442 18,3442 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-01 1 1 18,361 18,361 18,361 18,361 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-02 1 1 18,1833 18,1833 18,1833 18,1833 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-05 1 1 18,2204 18,2204 18,2204 18,2204 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-06 1 1 18,3873 18,3873 18,3873 18,3873 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-07 1 1 18,5064 18,5064 18,5064 18,5064 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-08 1 1 18,6218 18,6218 18,6218 18,6218 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-09 1 1 18,69 18,69 18,69 18,69 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-12 1 1 18,8393 18,8393 18,8393 18,8393 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-13 1 1 18,9082 18,9082 18,9082 18,9082 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-14 1 1 19,0432 19,0432 19,0432 19,0432 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-15 1 1 19,0645 19,0645 19,0645 19,0645 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-16 1 1 18,9895 18,9895 18,9895 18,9895 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-19 1 1 19,1482 19,1482 19,1482 19,1482 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-20 1 1 19,3668 19,3668 19,3668 19,3668 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-21 1 1 19,2226 19,2226 19,2226 19,2226 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-22 1 1 19,1621 19,1621 19,1621 19,1621 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-23 1 1 19,1146 19,1146 19,1146 19,1146 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-26 1 1 19,4025 19,4025 19,4025 19,4025 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-27 1 1 19,4993 19,4993 19,4993 19,4993 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-28 1 1 19,6385 19,6385 19,6385 19,6385 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-29 1 1 19,7575 19,7575 19,7575 19,7575 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-09-30 1 1 19,6732 19,6732 19,6732 19,6732 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-03 1 1 19,7671 19,7671 19,7671 19,7671 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-04 1 1 19,9797 19,9797 19,9797 19,9797 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-05 1 1 19,6445 19,6445 19,6445 19,6445 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-06 1 1 19,1534 19,1534 19,1534 19,1534 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-07 1 1 19,0141 19,0141 19,0141 19,0141 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-10 1 1 19,2366 19,2366 19,2366 19,2366 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-11 1 1 19,2819 19,2819 19,2819 19,2819 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-12 1 1 19,1468 19,1468 19,1468 19,1468 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-13 1 1 18,9818 18,9818 18,9818 18,9818 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-14 1 1 18,8658 18,8658 18,8658 18,8658 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-17 1 1 18,6835 18,6835 18,6835 18,6835 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-18 1 1 18,8267 18,8267 18,8267 18,8267 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-19 1 1 18,4452 18,4452 18,4452 18,4452 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-20 1 1 18,5409 18,5409 18,5409 18,5409 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-21 1 1 18,4916 18,4916 18,4916 18,4916 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-24 1 1 18,6639 18,6639 18,6639 18,6639 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-25 1 1 18,5409 18,5409 18,5409 18,5409 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-26 1 1 18,555 18,555 18,555 18,555 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-27 1 1 18,4485 18,4485 18,4485 18,4485 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-28 1 1 18,1377 18,1377 18,1377 18,1377 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-10-31 1 1 18,6199 18,6199 18,6199 18,6199 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-02 1 1 19,048 19,048 19,048 19,048 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-03 1 1 19,1931 19,1931 19,1931 19,1931 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-04 1 1 19,3124 19,3124 19,3124 19,3124 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-07 1 1 19,3898 19,3898 19,3898 19,3898 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-08 1 1 19,5188 19,5188 19,5188 19,5188 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-09 1 1 19,5479 19,5479 19,5479 19,5479 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-10 1 1 19,685 19,685 19,685 19,685 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-11 1 1 19,9883 19,9883 19,9883 19,9883 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-14 1 1 19,874 19,874 19,874 19,874 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-15 1 1 20,0263 20,0263 20,0263 20,0263 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-16 1 1 20,049 20,049 20,049 20,049 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-17 1 1 20,2005 20,2005 20,2005 20,2005 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-18 1 1 20,3015 20,3015 20,3015 20,3015 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-21 1 1 20,0254 20,0254 20,0254 20,0254 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-22 1 1 19,931 19,931 19,931 19,931 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-23 1 1 19,9819 19,9819 19,9819 19,9819 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-24 1 1 20,0519 20,0519 20,0519 20,0519 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-25 1 1 20,0967 20,0967 20,0967 20,0967 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-28 1 1 20,1608 20,1608 20,1608 20,1608 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-29 1 1 19,9582 19,9582 19,9582 19,9582 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-11-30 1 1 20,1383 20,1383 20,1383 20,1383 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-01 1 1 20,1084 20,1084 20,1084 20,1084 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-02 1 1 20,2042 20,2042 20,2042 20,2042 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-05 1 1 20,3221 20,3221 20,3221 20,3221 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-06 1 1 20,1669 20,1669 20,1669 20,1669 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-07 1 1 20,3466 20,3466 20,3466 20,3466 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-08 1 1 20,1497 20,1497 20,1497 20,1497 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-12 1 1 20,1705 20,1705 20,1705 20,1705 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-13 1 1 20,1743 20,1743 20,1743 20,1743 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-14 1 1 20,0538 20,0538 20,0538 20,0538 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-15 1 1 20,0242 20,0242 20,0242 20,0242 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-16 1 1 20,1854 20,1854 20,1854 20,1854 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-19 1 1 20,2181 20,2181 20,2181 20,2181 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-20 1 1 20,1374 20,1374 20,1374 20,1374 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-21 1 1 20,47 20,47 20,47 20,47 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-22 1 1 20,4632 20,4632 20,4632 20,4632 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-23 1 1 20,6213 20,6213 20,6213 20,6213 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-27 1 1 20,7567 20,7567 20,7567 20,7567 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-28 1 1 20,5978 20,5978 20,5978 20,5978 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-29 1 1 20,726 20,726 20,726 20,726 586982 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Far East SEK 2005-12-30 1 1 20,7616 20,7616 20,7616 20,7616 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-03 1 1 9,3179 9,3179 9,3179 9,3179 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-04 1 1 9,392 9,392 9,392 9,392 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-05 1 1 9,3138 9,3138 9,3138 9,3138 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-07 1 1 9,094 9,094 9,094 9,094 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-10 1 1 9,2134 9,2134 9,2134 9,2134 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-11 1 1 9,2019 9,2019 9,2019 9,2019 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-12 1 1 9,2228 9,2228 9,2228 9,2228 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-13 1 1 9,1995 9,1995 9,1995 9,1995 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-14 1 1 9,2978 9,2978 9,2978 9,2978 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-17 1 1 9,4502 9,4502 9,4502 9,4502 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-18 1 1 9,47 9,47 9,47 9,47 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-19 1 1 9,3599 9,3599 9,3599 9,3599 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-20 1 1 9,4072 9,4072 9,4072 9,4072 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-21 1 1 9,349 9,349 9,349 9,349 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-24 1 1 9,3625 9,3625 9,3625 9,3625 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-25 1 1 9,4019 9,4019 9,4019 9,4019 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-26 1 1 9,5117 9,5117 9,5117 9,5117 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-27 1 1 9,5226 9,5226 9,5226 9,5226 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-28 1 1 9,5362 9,5362 9,5362 9,5362 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-01-31 1 1 9,6524 9,6524 9,6524 9,6524 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-01 1 1 9,6319 9,6319 9,6319 9,6319 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-02 1 1 9,6411 9,6411 9,6411 9,6411 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-03 1 1 9,7041 9,7041 9,7041 9,7041 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-04 1 1 9,7626 9,7626 9,7626 9,7626 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-07 1 1 9,9376 9,9376 9,9376 9,9376 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-08 1 1 10,024 10,024 10,024 10,024 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-09 1 1 9,9689 9,9689 9,9689 9,9689 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-10 1 1 9,9659 9,9659 9,9659 9,9659 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-11 1 1 9,9609 9,9609 9,9609 9,9609 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-14 1 1 10,0315 10,0315 10,0315 10,0315 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-15 1 1 10,0349 10,0349 10,0349 10,0349 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-16 1 1 10,0526 10,0526 10,0526 10,0526 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-17 1 1 10,0378 10,0378 10,0378 10,0378 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-18 1 1 10,0727 10,0727 10,0727 10,0727 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-21 1 1 10,1125 10,1125 10,1125 10,1125 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-22 1 1 10,0505 10,0505 10,0505 10,0505 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-23 1 1 10,012 10,012 10,012 10,012 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-24 1 1 10,0315 10,0315 10,0315 10,0315 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-25 1 1 10,2074 10,2074 10,2074 10,2074 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-02-28 1 1 10,265 10,265 10,265 10,265 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-01 1 1 10,3008 10,3008 10,3008 10,3008 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-02 1 1 10,2507 10,2507 10,2507 10,2507 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-03 1 1 10,2195 10,2195 10,2195 10,2195 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-04 1 1 10,1933 10,1933 10,1933 10,1933 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-07 1 1 10,2517 10,2517 10,2517 10,2517 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-08 1 1 10,2285 10,2285 10,2285 10,2285 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-09 1 1 10,1433 10,1433 10,1433 10,1433 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-10 1 1 9,9966 9,9966 9,9966 9,9966 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-11 1 1 9,9848 9,9848 9,9848 9,9848 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-14 1 1 9,9307 9,9307 9,9307 9,9307 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-15 1 1 9,8097 9,8097 9,8097 9,8097 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-16 1 1 9,7522 9,7522 9,7522 9,7522 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-17 1 1 9,6958 9,6958 9,6958 9,6958 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-18 1 1 9,7863 9,7863 9,7863 9,7863 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-21 1 1 9,8034 9,8034 9,8034 9,8034 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-22 1 1 9,7502 9,7502 9,7502 9,7502 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-23 1 1 9,6986 9,6986 9,6986 9,6986 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-24 1 1 9,661 9,661 9,661 9,661 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-29 1 1 9,6445 9,6445 9,6445 9,6445 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-30 1 1 9,5757 9,5757 9,5757 9,5757 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-03-31 1 1 9,7762 9,7762 9,7762 9,7762 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-01 1 1 9,9317 9,9317 9,9317 9,9317 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-04 1 1 9,9245 9,9245 9,9245 9,9245 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-05 1 1 9,9293 9,9293 9,9293 9,9293 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-06 1 1 9,956 9,956 9,956 9,956 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-07 1 1 9,938 9,938 9,938 9,938 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-08 1 1 10,0332 10,0332 10,0332 10,0332 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-11 1 1 9,9547 9,9547 9,9547 9,9547 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-12 1 1 9,8885 9,8885 9,8885 9,8885 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-13 1 1 9,9206 9,9206 9,9206 9,9206 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-14 1 1 9,8641 9,8641 9,8641 9,8641 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-15 1 1 9,7229 9,7229 9,7229 9,7229 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-18 1 1 9,4404 9,4404 9,4404 9,4404 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-19 1 1 9,4835 9,4835 9,4835 9,4835 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-20 1 1 9,5647 9,5647 9,5647 9,5647 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-21 1 1 9,4862 9,4862 9,4862 9,4862 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-22 1 1 9,5661 9,5661 9,5661 9,5661 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-25 1 1 9,6175 9,6175 9,6175 9,6175 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-26 1 1 9,6592 9,6592 9,6592 9,6592 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-27 1 1 9,6491 9,6491 9,6491 9,6491 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-28 1 1 9,5989 9,5989 9,5989 9,5989 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-04-29 1 1 9,5009 9,5009 9,5009 9,5009 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-02 1 1 9,6323 9,6323 9,6323 9,6323 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-03 1 1 9,7095 9,7095 9,7095 9,7095 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-04 1 1 9,6925 9,6925 9,6925 9,6925 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-06 1 1 9,9143 9,9143 9,9143 9,9143 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-09 1 1 10,0174 10,0174 10,0174 10,0174 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-10 1 1 10,0081 10,0081 10,0081 10,0081 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-11 1 1 9,8981 9,8981 9,8981 9,8981 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-12 1 1 9,9705 9,9705 9,9705 9,9705 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-13 1 1 9,9523 9,9523 9,9523 9,9523 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-17 1 1 9,9638 9,9638 9,9638 9,9638 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-18 1 1 9,9926 9,9926 9,9926 9,9926 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-19 1 1 10,1383 10,1383 10,1383 10,1383 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-20 1 1 10,1681 10,1681 10,1681 10,1681 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-23 1 1 10,1429 10,1429 10,1429 10,1429 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-24 1 1 10,1505 10,1505 10,1505 10,1505 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-25 1 1 10,101 10,101 10,101 10,101 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-26 1 1 10,1791 10,1791 10,1791 10,1791 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-27 1 1 10,2729 10,2729 10,2729 10,2729 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-30 1 1 10,3247 10,3247 10,3247 10,3247 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-05-31 1 1 10,4059 10,4059 10,4059 10,4059 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-01 1 1 10,3727 10,3727 10,3727 10,3727 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-02 1 1 10,4332 10,4332 10,4332 10,4332 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-03 1 1 10,5249 10,5249 10,5249 10,5249 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-07 1 1 10,5122 10,5122 10,5122 10,5122 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-08 1 1 10,5171 10,5171 10,5171 10,5171 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-09 1 1 10,6109 10,6109 10,6109 10,6109 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-10 1 1 10,7107 10,7107 10,7107 10,7107 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-13 1 1 10,9174 10,9174 10,9174 10,9174 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-14 1 1 10,8776 10,8776 10,8776 10,8776 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-15 1 1 11 11 11 11 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-16 1 1 11,0468 11,0468 11,0468 11,0468 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-17 1 1 11,1042 11,1042 11,1042 11,1042 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-20 1 1 11,0101 11,0101 11,0101 11,0101 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-21 1 1 11,0995 11,0995 11,0995 11,0995 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-22 1 1 11,147 11,147 11,147 11,147 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-27 1 1 11,1431 11,1431 11,1431 11,1431 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-28 1 1 11,2291 11,2291 11,2291 11,2291 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-29 1 1 11,2926 11,2926 11,2926 11,2926 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-06-30 1 1 11,301 11,301 11,301 11,301 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-01 1 1 11,3774 11,3774 11,3774 11,3774 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-04 1 1 11,5481 11,5481 11,5481 11,5481 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-05 1 1 11,4441 11,4441 11,4441 11,4441 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-06 1 1 11,4277 11,4277 11,4277 11,4277 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-07 1 1 11,3175 11,3175 11,3175 11,3175 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-08 1 1 11,4425 11,4425 11,4425 11,4425 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-11 1 1 11,5697 11,5697 11,5697 11,5697 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-12 1 1 11,5313 11,5313 11,5313 11,5313 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-13 1 1 11,5369 11,5369 11,5369 11,5369 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-14 1 1 11,6549 11,6549 11,6549 11,6549 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-15 1 1 11,6582 11,6582 11,6582 11,6582 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-18 1 1 11,6321 11,6321 11,6321 11,6321 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-19 1 1 11,7615 11,7615 11,7615 11,7615 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-20 1 1 11,728 11,728 11,728 11,728 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-21 1 1 11,8369 11,8369 11,8369 11,8369 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-22 1 1 11,8516 11,8516 11,8516 11,8516 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-25 1 1 11,8868 11,8868 11,8868 11,8868 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-26 1 1 11,87 11,87 11,87 11,87 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-27 1 1 11,928 11,928 11,928 11,928 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-28 1 1 11,9152 11,9152 11,9152 11,9152 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-07-29 1 1 11,9918 11,9918 11,9918 11,9918 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-01 1 1 11,9436 11,9436 11,9436 11,9436 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-02 1 1 12,0432 12,0432 12,0432 12,0432 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-03 1 1 12,0763 12,0763 12,0763 12,0763 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-04 1 1 12,0771 12,0771 12,0771 12,0771 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-05 1 1 11,9292 11,9292 11,9292 11,9292 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-08 1 1 11,8703 11,8703 11,8703 11,8703 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-09 1 1 11,9391 11,9391 11,9391 11,9391 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-10 1 1 12,0386 12,0386 12,0386 12,0386 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-11 1 1 12,0679 12,0679 12,0679 12,0679 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-12 1 1 11,9224 11,9224 11,9224 11,9224 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-16 1 1 12,0136 12,0136 12,0136 12,0136 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-17 1 1 12,0022 12,0022 12,0022 12,0022 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-18 1 1 11,9041 11,9041 11,9041 11,9041 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-19 1 1 11,8993 11,8993 11,8993 11,8993 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-22 1 1 12,036 12,036 12,036 12,036 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-23 1 1 12,0293 12,0293 12,0293 12,0293 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-24 1 1 11,8614 11,8614 11,8614 11,8614 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-25 1 1 11,7463 11,7463 11,7463 11,7463 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-26 1 1 11,7961 11,7961 11,7961 11,7961 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-29 1 1 11,6494 11,6494 11,6494 11,6494 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-30 1 1 11,8229 11,8229 11,8229 11,8229 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-08-31 1 1 11,8781 11,8781 11,8781 11,8781 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-01 1 1 11,9422 11,9422 11,9422 11,9422 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-02 1 1 11,8863 11,8863 11,8863 11,8863 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-05 1 1 11,96 11,96 11,96 11,96 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-06 1 1 12,0445 12,0445 12,0445 12,0445 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-07 1 1 12,1163 12,1163 12,1163 12,1163 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-08 1 1 12,2037 12,2037 12,2037 12,2037 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-09 1 1 12,27 12,27 12,27 12,27 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-12 1 1 12,4286 12,4286 12,4286 12,4286 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-13 1 1 12,4629 12,4629 12,4629 12,4629 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-14 1 1 12,4476 12,4476 12,4476 12,4476 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-15 1 1 12,5005 12,5005 12,5005 12,5005 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-16 1 1 12,5344 12,5344 12,5344 12,5344 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-19 1 1 12,6904 12,6904 12,6904 12,6904 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-20 1 1 12,8087 12,8087 12,8087 12,8087 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-21 1 1 12,7541 12,7541 12,7541 12,7541 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-22 1 1 12,8115 12,8115 12,8115 12,8115 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-23 1 1 12,7706 12,7706 12,7706 12,7706 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-26 1 1 12,9203 12,9203 12,9203 12,9203 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-27 1 1 13,0624 13,0624 13,0624 13,0624 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-28 1 1 13,1339 13,1339 13,1339 13,1339 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-29 1 1 13,2192 13,2192 13,2192 13,2192 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-09-30 1 1 13,2297 13,2297 13,2297 13,2297 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-03 1 1 13,296 13,296 13,296 13,296 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-04 1 1 13,4994 13,4994 13,4994 13,4994 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-05 1 1 13,2923 13,2923 13,2923 13,2923 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-06 1 1 12,8341 12,8341 12,8341 12,8341 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-07 1 1 12,6011 12,6011 12,6011 12,6011 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-10 1 1 12,7868 12,7868 12,7868 12,7868 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-11 1 1 12,9217 12,9217 12,9217 12,9217 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-12 1 1 12,861 12,861 12,861 12,861 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-13 1 1 12,6371 12,6371 12,6371 12,6371 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-14 1 1 12,4972 12,4972 12,4972 12,4972 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-17 1 1 12,4882 12,4882 12,4882 12,4882 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-18 1 1 12,6798 12,6798 12,6798 12,6798 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-19 1 1 12,3103 12,3103 12,3103 12,3103 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-20 1 1 12,4421 12,4421 12,4421 12,4421 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-21 1 1 12,2982 12,2982 12,2982 12,2982 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-24 1 1 12,5373 12,5373 12,5373 12,5373 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-25 1 1 12,5476 12,5476 12,5476 12,5476 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-26 1 1 12,5028 12,5028 12,5028 12,5028 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-27 1 1 12,4022 12,4022 12,4022 12,4022 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-28 1 1 12,1768 12,1768 12,1768 12,1768 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-10-31 1 1 12,5618 12,5618 12,5618 12,5618 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-02 1 1 13,0874 13,0874 13,0874 13,0874 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-03 1 1 13,1825 13,1825 13,1825 13,1825 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-04 1 1 13,3123 13,3123 13,3123 13,3123 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-07 1 1 13,3808 13,3808 13,3808 13,3808 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-08 1 1 13,4179 13,4179 13,4179 13,4179 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-09 1 1 13,4864 13,4864 13,4864 13,4864 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-10 1 1 13,5341 13,5341 13,5341 13,5341 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-11 1 1 13,6679 13,6679 13,6679 13,6679 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-14 1 1 13,6277 13,6277 13,6277 13,6277 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-15 1 1 13,7451 13,7451 13,7451 13,7451 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-16 1 1 13,7102 13,7102 13,7102 13,7102 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-17 1 1 13,8849 13,8849 13,8849 13,8849 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-18 1 1 13,973 13,973 13,973 13,973 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-21 1 1 13,7895 13,7895 13,7895 13,7895 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-22 1 1 13,7887 13,7887 13,7887 13,7887 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-23 1 1 13,82 13,82 13,82 13,82 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-24 1 1 13,8802 13,8802 13,8802 13,8802 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-25 1 1 13,9296 13,9296 13,9296 13,9296 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-28 1 1 13,9983 13,9983 13,9983 13,9983 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-29 1 1 13,8019 13,8019 13,8019 13,8019 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-11-30 1 1 13,9541 13,9541 13,9541 13,9541 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-01 1 1 13,9671 13,9671 13,9671 13,9671 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-02 1 1 14,1026 14,1026 14,1026 14,1026 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-05 1 1 14,1865 14,1865 14,1865 14,1865 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-06 1 1 14,0912 14,0912 14,0912 14,0912 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-07 1 1 14,3274 14,3274 14,3274 14,3274 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-08 1 1 14,1785 14,1785 14,1785 14,1785 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-12 1 1 14,0982 14,0982 14,0982 14,0982 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-13 1 1 14,1147 14,1147 14,1147 14,1147 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-14 1 1 14,0187 14,0187 14,0187 14,0187 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-15 1 1 14,0303 14,0303 14,0303 14,0303 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-16 1 1 14,1042 14,1042 14,1042 14,1042 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-19 1 1 14,1203 14,1203 14,1203 14,1203 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-20 1 1 14,0069 14,0069 14,0069 14,0069 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-21 1 1 14,2523 14,2523 14,2523 14,2523 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-22 1 1 14,361 14,361 14,361 14,361 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-23 1 1 14,461 14,461 14,461 14,461 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-27 1 1 14,5571 14,5571 14,5571 14,5571 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-28 1 1 14,3869 14,3869 14,3869 14,3869 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-29 1 1 14,4321 14,4321 14,4321 14,4321 819029 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - Global Emerging Markets SEK 2005-12-30 1 1 14,5011 14,5011 14,5011 14,5011 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-03 1 1 17,8109 17,8109 17,8109 17,8109 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-04 1 1 17,9483 17,9483 17,9483 17,9483 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-05 1 1 17,9731 17,9731 17,9731 17,9731 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-07 1 1 17,8973 17,8973 17,8973 17,8973 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-10 1 1 18,0488 18,0488 18,0488 18,0488 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-11 1 1 18,028 18,028 18,028 18,028 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-12 1 1 18,0273 18,0273 18,0273 18,0273 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-13 1 1 17,9364 17,9364 17,9364 17,9364 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-14 1 1 17,9123 17,9123 17,9123 17,9123 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-17 1 1 18,0584 18,0584 18,0584 18,0584 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-18 1 1 18,1256 18,1256 18,1256 18,1256 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-19 1 1 18,1616 18,1616 18,1616 18,1616 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-20 1 1 18,2086 18,2086 18,2086 18,2086 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-21 1 1 18,0642 18,0642 18,0642 18,0642 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-24 1 1 17,869 17,869 17,869 17,869 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-25 1 1 17,8258 17,8258 17,8258 17,8258 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-26 1 1 17,9866 17,9866 17,9866 17,9866 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-27 1 1 18,0252 18,0252 18,0252 18,0252 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-28 1 1 18,0746 18,0746 18,0746 18,0746 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-01-31 1 1 18,1077 18,1077 18,1077 18,1077 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-01 1 1 18,189 18,189 18,189 18,189 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-02 1 1 18,2269 18,2269 18,2269 18,2269 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-03 1 1 18,3323 18,3323 18,3323 18,3323 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-04 1 1 18,3984 18,3984 18,3984 18,3984 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-07 1 1 18,7436 18,7436 18,7436 18,7436 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-08 1 1 18,8909 18,8909 18,8909 18,8909 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-09 1 1 18,7787 18,7787 18,7787 18,7787 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-10 1 1 18,6221 18,6221 18,6221 18,6221 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-11 1 1 18,6208 18,6208 18,6208 18,6208 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-14 1 1 18,6221 18,6221 18,6221 18,6221 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-15 1 1 18,5683 18,5683 18,5683 18,5683 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-16 1 1 18,5817 18,5817 18,5817 18,5817 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-17 1 1 18,6182 18,6182 18,6182 18,6182 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-18 1 1 18,4641 18,4641 18,4641 18,4641 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-21 1 1 18,5018 18,5018 18,5018 18,5018 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-22 1 1 18,2941 18,2941 18,2941 18,2941 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-23 1 1 18,0229 18,0229 18,0229 18,0229 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-24 1 1 17,9898 17,9898 17,9898 17,9898 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-25 1 1 18,2293 18,2293 18,2293 18,2293 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-02-28 1 1 18,2628 18,2628 18,2628 18,2628 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-01 1 1 18,2436 18,2436 18,2436 18,2436 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-02 1 1 18,5189 18,5189 18,5189 18,5189 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-03 1 1 18,4503 18,4503 18,4503 18,4503 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-04 1 1 18,4581 18,4581 18,4581 18,4581 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-07 1 1 18,5125 18,5125 18,5125 18,5125 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-08 1 1 18,5275 18,5275 18,5275 18,5275 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-09 1 1 18,2928 18,2928 18,2928 18,2928 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-10 1 1 18,0871 18,0871 18,0871 18,0871 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-11 1 1 18,0871 18,0871 18,0871 18,0871 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-14 1 1 18,0136 18,0136 18,0136 18,0136 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-15 1 1 18,2168 18,2168 18,2168 18,2168 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-16 1 1 18,1254 18,1254 18,1254 18,1254 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-17 1 1 17,9711 17,9711 17,9711 17,9711 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-18 1 1 18,0836 18,0836 18,0836 18,0836 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-21 1 1 18,2729 18,2729 18,2729 18,2729 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-22 1 1 18,2282 18,2282 18,2282 18,2282 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-23 1 1 18,2422 18,2422 18,2422 18,2422 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-24 1 1 18,3142 18,3142 18,3142 18,3142 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-29 1 1 18,4491 18,4491 18,4491 18,4491 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-30 1 1 18,2985 18,2985 18,2985 18,2985 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-03-31 1 1 18,5678 18,5678 18,5678 18,5678 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-01 1 1 18,5848 18,5848 18,5848 18,5848 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-04 1 1 18,5841 18,5841 18,5841 18,5841 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-05 1 1 18,73 18,73 18,73 18,73 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-06 1 1 18,6585 18,6585 18,6585 18,6585 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-07 1 1 18,6407 18,6407 18,6407 18,6407 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-08 1 1 18,9222 18,9222 18,9222 18,9222 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-11 1 1 18,6058 18,6058 18,6058 18,6058 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-12 1 1 18,5298 18,5298 18,5298 18,5298 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-13 1 1 18,7115 18,7115 18,7115 18,7115 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-14 1 1 18,5875 18,5875 18,5875 18,5875 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-15 1 1 18,4964 18,4964 18,4964 18,4964 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-18 1 1 17,9935 17,9935 17,9935 17,9935 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-19 1 1 18,0356 18,0356 18,0356 18,0356 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-20 1 1 18,0531 18,0531 18,0531 18,0531 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-21 1 1 17,7355 17,7355 17,7355 17,7355 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-22 1 1 18,0337 18,0337 18,0337 18,0337 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-25 1 1 18,0171 18,0171 18,0171 18,0171 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-26 1 1 18,1428 18,1428 18,1428 18,1428 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-27 1 1 18,0628 18,0628 18,0628 18,0628 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-28 1 1 18,1237 18,1237 18,1237 18,1237 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-04-29 1 1 17,9011 17,9011 17,9011 17,9011 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-02 1 1 18,2668 18,2668 18,2668 18,2668 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-03 1 1 18,4295 18,4295 18,4295 18,4295 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-04 1 1 18,2045 18,2045 18,2045 18,2045 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-06 1 1 18,3335 18,3335 18,3335 18,3335 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-09 1 1 18,5168 18,5168 18,5168 18,5168 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-10 1 1 18,666 18,666 18,666 18,666 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-11 1 1 18,4614 18,4614 18,4614 18,4614 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-12 1 1 18,6915 18,6915 18,6915 18,6915 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-13 1 1 18,672 18,672 18,672 18,672 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-17 1 1 18,8018 18,8018 18,8018 18,8018 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-18 1 1 18,9768 18,9768 18,9768 18,9768 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-19 1 1 19,0517 19,0517 19,0517 19,0517 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-20 1 1 19,2119 19,2119 19,2119 19,2119 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-23 1 1 19,2588 19,2588 19,2588 19,2588 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-24 1 1 19,3243 19,3243 19,3243 19,3243 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-25 1 1 19,281 19,281 19,281 19,281 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-26 1 1 19,2631 19,2631 19,2631 19,2631 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-27 1 1 19,403 19,403 19,403 19,403 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-30 1 1 19,4495 19,4495 19,4495 19,4495 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-05-31 1 1 19,6168 19,6168 19,6168 19,6168 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-01 1 1 19,6779 19,6779 19,6779 19,6779 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-02 1 1 19,832 19,832 19,832 19,832 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-03 1 1 19,8524 19,8524 19,8524 19,8524 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-07 1 1 19,7336 19,7336 19,7336 19,7336 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-08 1 1 19,7721 19,7721 19,7721 19,7721 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-09 1 1 19,9465 19,9465 19,9465 19,9465 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-10 1 1 20,1441 20,1441 20,1441 20,1441 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-13 1 1 20,436 20,436 20,436 20,436 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-14 1 1 20,4121 20,4121 20,4121 20,4121 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-15 1 1 20,585 20,585 20,585 20,585 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-16 1 1 20,568 20,568 20,568 20,568 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-17 1 1 20,6189 20,6189 20,6189 20,6189 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-20 1 1 20,4986 20,4986 20,4986 20,4986 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-21 1 1 20,7734 20,7734 20,7734 20,7734 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-22 1 1 20,6623 20,6623 20,6623 20,6623 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-27 1 1 20,5877 20,5877 20,5877 20,5877 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-28 1 1 20,6522 20,6522 20,6522 20,6522 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-29 1 1 20,9807 20,9807 20,9807 20,9807 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-06-30 1 1 20,8787 20,8787 20,8787 20,8787 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-01 1 1 20,8248 20,8248 20,8248 20,8248 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-04 1 1 21,2029 21,2029 21,2029 21,2029 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-05 1 1 21,1483 21,1483 21,1483 21,1483 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-06 1 1 21,1969 21,1969 21,1969 21,1969 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-07 1 1 20,9452 20,9452 20,9452 20,9452 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-08 1 1 21,2058 21,2058 21,2058 21,2058 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-11 1 1 21,377 21,377 21,377 21,377 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-12 1 1 21,2115 21,2115 21,2115 21,2115 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-13 1 1 21,0964 21,0964 21,0964 21,0964 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-14 1 1 21,2313 21,2313 21,2313 21,2313 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-15 1 1 21,3033 21,3033 21,3033 21,3033 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-18 1 1 21,314 21,314 21,314 21,314 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-19 1 1 21,411 21,411 21,411 21,411 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-20 1 1 21,4578 21,4578 21,4578 21,4578 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-21 1 1 21,5831 21,5831 21,5831 21,5831 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-22 1 1 21,4186 21,4186 21,4186 21,4186 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-25 1 1 21,6407 21,6407 21,6407 21,6407 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-26 1 1 21,7132 21,7132 21,7132 21,7132 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-27 1 1 21,7964 21,7964 21,7964 21,7964 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-28 1 1 21,6379 21,6379 21,6379 21,6379 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-07-29 1 1 21,7489 21,7489 21,7489 21,7489 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-01 1 1 21,3525 21,3525 21,3525 21,3525 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-02 1 1 21,2925 21,2925 21,2925 21,2925 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-03 1 1 21,281 21,281 21,281 21,281 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-04 1 1 21,2369 21,2369 21,2369 21,2369 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-05 1 1 20,9326 20,9326 20,9326 20,9326 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-08 1 1 20,7585 20,7585 20,7585 20,7585 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-09 1 1 20,7795 20,7795 20,7795 20,7795 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-10 1 1 20,8759 20,8759 20,8759 20,8759 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-11 1 1 20,8223 20,8223 20,8223 20,8223 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-12 1 1 20,7961 20,7961 20,7961 20,7961 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-16 1 1 21,0061 21,0061 21,0061 21,0061 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-17 1 1 20,8948 20,8948 20,8948 20,8948 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-18 1 1 20,9247 20,9247 20,9247 20,9247 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-19 1 1 21,0317 21,0317 21,0317 21,0317 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-22 1 1 21,1259 21,1259 21,1259 21,1259 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-23 1 1 21,054 21,054 21,054 21,054 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-24 1 1 20,9356 20,9356 20,9356 20,9356 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-25 1 1 20,6499 20,6499 20,6499 20,6499 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-26 1 1 20,6763 20,6763 20,6763 20,6763 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-29 1 1 20,485 20,485 20,485 20,485 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-30 1 1 20,8184 20,8184 20,8184 20,8184 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-08-31 1 1 20,8114 20,8114 20,8114 20,8114 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-01 1 1 20,7045 20,7045 20,7045 20,7045 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-02 1 1 20,3248 20,3248 20,3248 20,3248 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-05 1 1 20,3089 20,3089 20,3089 20,3089 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-06 1 1 20,5035 20,5035 20,5035 20,5035 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-07 1 1 20,677 20,677 20,677 20,677 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-08 1 1 20,8907 20,8907 20,8907 20,8907 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-09 1 1 20,8311 20,8311 20,8311 20,8311 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-12 1 1 21,0303 21,0303 21,0303 21,0303 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-13 1 1 21,0637 21,0637 21,0637 21,0637 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-14 1 1 20,9957 20,9957 20,9957 20,9957 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-15 1 1 20,9981 20,9981 20,9981 20,9981 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-16 1 1 20,9202 20,9202 20,9202 20,9202 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-19 1 1 21,2794 21,2794 21,2794 21,2794 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-20 1 1 21,1845 21,1845 21,1845 21,1845 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-21 1 1 20,9246 20,9246 20,9246 20,9246 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-22 1 1 20,7925 20,7925 20,7925 20,7925 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-23 1 1 21,0033 21,0033 21,0033 21,0033 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-26 1 1 21,0672 21,0672 21,0672 21,0672 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-27 1 1 21,2425 21,2425 21,2425 21,2425 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-28 1 1 21,2737 21,2737 21,2737 21,2737 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-29 1 1 21,1408 21,1408 21,1408 21,1408 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-09-30 1 1 21,2483 21,2483 21,2483 21,2483 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-03 1 1 21,4405 21,4405 21,4405 21,4405 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-04 1 1 21,4974 21,4974 21,4974 21,4974 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-05 1 1 21,1904 21,1904 21,1904 21,1904 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-06 1 1 20,6671 20,6671 20,6671 20,6671 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-07 1 1 20,4047 20,4047 20,4047 20,4047 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-10 1 1 20,6121 20,6121 20,6121 20,6121 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-11 1 1 20,6035 20,6035 20,6035 20,6035 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-12 1 1 20,5147 20,5147 20,5147 20,5147 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-13 1 1 20,5189 20,5189 20,5189 20,5189 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-14 1 1 20,5411 20,5411 20,5411 20,5411 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-17 1 1 20,796 20,796 20,796 20,796 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-18 1 1 21,0307 21,0307 21,0307 21,0307 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-19 1 1 20,8813 20,8813 20,8813 20,8813 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-20 1 1 21,2369 21,2369 21,2369 21,2369 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-21 1 1 20,78 20,78 20,78 20,78 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-24 1 1 21,105 21,105 21,105 21,105 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-25 1 1 21,2869 21,2869 21,2869 21,2869 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-26 1 1 21,0241 21,0241 21,0241 21,0241 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-27 1 1 20,8409 20,8409 20,8409 20,8409 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-28 1 1 20,5365 20,5365 20,5365 20,5365 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-10-31 1 1 21,1372 21,1372 21,1372 21,1372 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-02 1 1 21,4307 21,4307 21,4307 21,4307 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-03 1 1 21,6736 21,6736 21,6736 21,6736 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-04 1 1 21,9022 21,9022 21,9022 21,9022 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-07 1 1 22,1763 22,1763 22,1763 22,1763 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-08 1 1 22,2607 22,2607 22,2607 22,2607 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-09 1 1 22,1091 22,1091 22,1091 22,1091 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-10 1 1 22,2522 22,2522 22,2522 22,2522 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-11 1 1 22,5311 22,5311 22,5311 22,5311 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-14 1 1 22,4404 22,4404 22,4404 22,4404 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-15 1 1 22,6921 22,6921 22,6921 22,6921 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-16 1 1 22,4968 22,4968 22,4968 22,4968 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-17 1 1 22,6542 22,6542 22,6542 22,6542 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-18 1 1 22,7766 22,7766 22,7766 22,7766 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-21 1 1 22,5349 22,5349 22,5349 22,5349 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-22 1 1 22,8267 22,8267 22,8267 22,8267 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-23 1 1 22,6508 22,6508 22,6508 22,6508 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-24 1 1 22,7163 22,7163 22,7163 22,7163 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-25 1 1 22,825 22,825 22,825 22,825 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-28 1 1 22,829 22,829 22,829 22,829 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-29 1 1 22,4534 22,4534 22,4534 22,4534 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-11-30 1 1 22,6257 22,6257 22,6257 22,6257 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-01 1 1 22,4922 22,4922 22,4922 22,4922 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-02 1 1 22,7431 22,7431 22,7431 22,7431 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-05 1 1 22,7858 22,7858 22,7858 22,7858 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-06 1 1 22,5215 22,5215 22,5215 22,5215 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-07 1 1 22,6701 22,6701 22,6701 22,6701 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-08 1 1 22,511 22,511 22,511 22,511 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-12 1 1 22,4199 22,4199 22,4199 22,4199 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-13 1 1 22,3699 22,3699 22,3699 22,3699 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-14 1 1 22,2481 22,2481 22,2481 22,2481 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-15 1 1 22,3085 22,3085 22,3085 22,3085 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-16 1 1 22,4585 22,4585 22,4585 22,4585 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-19 1 1 22,2337 22,2337 22,2337 22,2337 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-20 1 1 22,0316 22,0316 22,0316 22,0316 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-21 1 1 22,3128 22,3128 22,3128 22,3128 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-22 1 1 22,466 22,466 22,466 22,466 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-23 1 1 22,5689 22,5689 22,5689 22,5689 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-27 1 1 22,6724 22,6724 22,6724 22,6724 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-28 1 1 22,3041 22,3041 22,3041 22,3041 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-29 1 1 22,3675 22,3675 22,3675 22,3675 551150 Carlson Fund Management Company S.A Luxembourg Carlson Fund Equity - North America SEK 2005-12-30 1 1 22,3258 22,3258 22,3258 22,3258 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-03 1 1 13,4264 13,4264 13,4264 13,4264 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-04 1 1 13,5348 13,5348 13,5348 13,5348 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-05 1 1 13,5991 13,5991 13,5991 13,5991 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-07 1 1 13,6074 13,6074 13,6074 13,6074 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-10 1 1 13,6817 13,6817 13,6817 13,6817 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-11 1 1 13,6625 13,6625 13,6625 13,6625 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-12 1 1 13,7477 13,7477 13,7477 13,7477 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-13 1 1 13,7295 13,7295 13,7295 13,7295 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-14 1 1 13,7906 13,7906 13,7906 13,7906 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-17 1 1 13,8486 13,8486 13,8486 13,8486 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-18 1 1 13,8361 13,8361 13,8361 13,8361 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-19 1 1 13,7945 13,7945 13,7945 13,7945 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-20 1 1 13,8671 13,8671 13,8671 13,8671 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-21 1 1 13,8263 13,8263 13,8263 13,8263 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-24 1 1 13,8563 13,8563 13,8563 13,8563 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-25 1 1 13,8569 13,8569 13,8569 13,8569 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-26 1 1 13,8913 13,8913 13,8913 13,8913 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-27 1 1 13,862 13,862 13,862 13,862 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-28 1 1 13,8737 13,8737 13,8737 13,8737 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-01-31 1 1 13,9381 13,9381 13,9381 13,9381 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-01 1 1 13,8722 13,8722 13,8722 13,8722 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-02 1 1 13,8781 13,8781 13,8781 13,8781 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-03 1 1 13,8725 13,8725 13,8725 13,8725 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-04 1 1 13,9115 13,9115 13,9115 13,9115 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-07 1 1 13,9804 13,9804 13,9804 13,9804 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-08 1 1 14,0254 14,0254 14,0254 14,0254 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-09 1 1 14,002 14,002 14,002 14,002 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-10 1 1 13,985 13,985 13,985 13,985 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-11 1 1 13,9597 13,9597 13,9597 13,9597 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-14 1 1 13,947 13,947 13,947 13,947 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-15 1 1 13,8754 13,8754 13,8754 13,8754 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-16 1 1 13,8386 13,8386 13,8386 13,8386 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-17 1 1 13,8328 13,8328 13,8328 13,8328 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-18 1 1 13,8085 13,8085 13,8085 13,8085 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-21 1 1 13,7997 13,7997 13,7997 13,7997 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-22 1 1 13,7417 13,7417 13,7417 13,7417 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-23 1 1 13,7132 13,7132 13,7132 13,7132 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-24 1 1 13,6403 13,6403 13,6403 13,6403 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-25 1 1 13,6647 13,6647 13,6647 13,6647 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-02-28 1 1 13,6292 13,6292 13,6292 13,6292 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-01 1 1 13,6388 13,6388 13,6388 13,6388 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-02 1 1 13,6758 13,6758 13,6758 13,6758 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-03 1 1 13,633 13,633 13,633 13,633 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-04 1 1 13,6118 13,6118 13,6118 13,6118 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-07 1 1 13,6115 13,6115 13,6115 13,6115 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-08 1 1 13,5978 13,5978 13,5978 13,5978 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-09 1 1 13,5459 13,5459 13,5459 13,5459 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-10 1 1 13,515 13,515 13,515 13,515 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-11 1 1 13,521 13,521 13,521 13,521 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-14 1 1 13,5028 13,5028 13,5028 13,5028 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-15 1 1 13,573 13,573 13,573 13,573 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-16 1 1 13,6262 13,6262 13,6262 13,6262 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-17 1 1 13,6225 13,6225 13,6225 13,6225 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-18 1 1 13,644 13,644 13,644 13,644 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-21 1 1 13,7165 13,7165 13,7165 13,7165 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-22 1 1 13,747 13,747 13,747 13,747 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-23 1 1 13,7552 13,7552 13,7552 13,7552 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-24 1 1 13,7376 13,7376 13,7376 13,7376 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-29 1 1 13,7884 13,7884 13,7884 13,7884 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-30 1 1 13,7954 13,7954 13,7954 13,7954 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-03-31 1 1 13,8391 13,8391 13,8391 13,8391 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-01 1 1 13,8821 13,8821 13,8821 13,8821 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-04 1 1 13,9198 13,9198 13,9198 13,9198 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-05 1 1 13,9299 13,9299 13,9299 13,9299 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-06 1 1 13,8892 13,8892 13,8892 13,8892 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-07 1 1 13,8497 13,8497 13,8497 13,8497 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-08 1 1 13,9062 13,9062 13,9062 13,9062 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-11 1 1 13,887 13,887 13,887 13,887 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-12 1 1 13,8514 13,8514 13,8514 13,8514 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-13 1 1 13,9156 13,9156 13,9156 13,9156 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-14 1 1 13,9547 13,9547 13,9547 13,9547 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-15 1 1 14,0001 14,0001 14,0001 14,0001 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-18 1 1 13,9877 13,9877 13,9877 13,9877 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-19 1 1 13,9892 13,9892 13,9892 13,9892 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-20 1 1 13,9988 13,9988 13,9988 13,9988 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-21 1 1 13,9676 13,9676 13,9676 13,9676 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-22 1 1 13,9599 13,9599 13,9599 13,9599 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-25 1 1 14,0337 14,0337 14,0337 14,0337 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-26 1 1 14,0236 14,0236 14,0236 14,0236 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-27 1 1 14,0355 14,0355 14,0355 14,0355 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-28 1 1 14,0646 14,0646 14,0646 14,0646 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-04-29 1 1 14,1236 14,1236 14,1236 14,1236 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-02 1 1 14,2057 14,2057 14,2057 14,2057 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-03 1 1 14,2684 14,2684 14,2684 14,2684 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-04 1 1 14,1891 14,1891 14,1891 14,1891 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-06 1 1 14,1497 14,1497 14,1497 14,1497 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-09 1 1 14,188 14,188 14,188 14,188 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-10 1 1 14,1965 14,1965 14,1965 14,1965 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-11 1 1 14,2571 14,2571 14,2571 14,2571 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-12 1 1 14,28 14,28 14,28 14,28 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-13 1 1 14,3221 14,3221 14,3221 14,3221 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-17 1 1 14,3401 14,3401 14,3401 14,3401 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-18 1 1 14,3377 14,3377 14,3377 14,3377 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-19 1 1 14,2921 14,2921 14,2921 14,2921 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-20 1 1 14,2898 14,2898 14,2898 14,2898 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-23 1 1 14,2981 14,2981 14,2981 14,2981 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-24 1 1 14,3448 14,3448 14,3448 14,3448 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-25 1 1 14,336 14,336 14,336 14,336 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-26 1 1 14,3565 14,3565 14,3565 14,3565 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-27 1 1 14,3663 14,3663 14,3663 14,3663 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-30 1 1 14,3384 14,3384 14,3384 14,3384 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-05-31 1 1 14,4066 14,4066 14,4066 14,4066 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-01 1 1 14,4531 14,4531 14,4531 14,4531 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-02 1 1 14,5067 14,5067 14,5067 14,5067 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-03 1 1 14,5122 14,5122 14,5122 14,5122 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-07 1 1 14,571 14,571 14,571 14,571 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-08 1 1 14,6042 14,6042 14,6042 14,6042 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-09 1 1 14,6798 14,6798 14,6798 14,6798 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-10 1 1 14,7497 14,7497 14,7497 14,7497 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-13 1 1 14,8068 14,8068 14,8068 14,8068 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-14 1 1 14,7774 14,7774 14,7774 14,7774 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-15 1 1 14,7722 14,7722 14,7722 14,7722 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-16 1 1 14,7319 14,7319 14,7319 14,7319 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-17 1 1 14,7202 14,7202 14,7202 14,7202 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-20 1 1 14,6217 14,6217 14,6217 14,6217 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-21 1 1 14,7526 14,7526 14,7526 14,7526 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-22 1 1 14,7926 14,7926 14,7926 14,7926 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-27 1 1 15,0341 15,0341 15,0341 15,0341 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-28 1 1 15,0443 15,0443 15,0443 15,0443 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-29 1 1 15,0698 15,0698 15,0698 15,0698 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-06-30 1 1 15,0481 15,0481 15,0481 15,0481 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-01 1 1 15,1133 15,1133 15,1133 15,1133 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-04 1 1 15,1614 15,1614 15,1614 15,1614 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-05 1 1 15,0744 15,0744 15,0744 15,0744 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-06 1 1 14,9851 14,9851 14,9851 14,9851 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-07 1 1 15,0128 15,0128 15,0128 15,0128 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-08 1 1 15,0435 15,0435 15,0435 15,0435 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-11 1 1 15,0502 15,0502 15,0502 15,0502 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-12 1 1 14,941 14,941 14,941 14,941 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-13 1 1 14,7865 14,7865 14,7865 14,7865 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-14 1 1 14,8013 14,8013 14,8013 14,8013 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-15 1 1 14,8378 14,8378 14,8378 14,8378 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-18 1 1 14,8277 14,8277 14,8277 14,8277 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-19 1 1 14,8847 14,8847 14,8847 14,8847 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-20 1 1 14,823 14,823 14,823 14,823 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-21 1 1 14,8917 14,8917 14,8917 14,8917 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-22 1 1 14,9302 14,9302 14,9302 14,9302 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-25 1 1 14,9115 14,9115 14,9115 14,9115 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-26 1 1 14,9454 14,9454 14,9454 14,9454 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-27 1 1 14,9639 14,9639 14,9639 14,9639 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-28 1 1 14,7968 14,7968 14,7968 14,7968 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-07-29 1 1 14,845 14,845 14,845 14,845 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-01 1 1 14,7561 14,7561 14,7561 14,7561 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-02 1 1 14,7105 14,7105 14,7105 14,7105 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-03 1 1 14,632 14,632 14,632 14,632 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-04 1 1 14,6201 14,6201 14,6201 14,6201 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-05 1 1 14,5197 14,5197 14,5197 14,5197 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-08 1 1 14,4756 14,4756 14,4756 14,4756 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-09 1 1 14,4876 14,4876 14,4876 14,4876 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-10 1 1 14,5419 14,5419 14,5419 14,5419 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-11 1 1 14,5216 14,5216 14,5216 14,5216 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-12 1 1 14,5097 14,5097 14,5097 14,5097 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-16 1 1 14,6323 14,6323 14,6323 14,6323 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-17 1 1 14,7085 14,7085 14,7085 14,7085 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-18 1 1 14,7123 14,7123 14,7123 14,7123 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-19 1 1 14,7932 14,7932 14,7932 14,7932 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-22 1 1 14,867 14,867 14,867 14,867 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-23 1 1 14,8089 14,8089 14,8089 14,8089 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-24 1 1 14,7604 14,7604 14,7604 14,7604 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-25 1 1 14,7444 14,7444 14,7444 14,7444 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-26 1 1 14,7481 14,7481 14,7481 14,7481 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-29 1 1 14,6989 14,6989 14,6989 14,6989 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-30 1 1 14,7522 14,7522 14,7522 14,7522 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-08-31 1 1 14,8045 14,8045 14,8045 14,8045 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-01 1 1 14,7403 14,7403 14,7403 14,7403 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-02 1 1 14,618 14,618 14,618 14,618 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-05 1 1 14,6532 14,6532 14,6532 14,6532 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-06 1 1 14,6974 14,6974 14,6974 14,6974 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-07 1 1 14,686 14,686 14,686 14,686 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-08 1 1 14,7138 14,7138 14,7138 14,7138 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-09 1 1 14,74 14,74 14,74 14,74 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-12 1 1 14,7668 14,7668 14,7668 14,7668 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-13 1 1 14,7062 14,7062 14,7062 14,7062 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-14 1 1 14,8175 14,8175 14,8175 14,8175 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-15 1 1 14,8212 14,8212 14,8212 14,8212 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-16 1 1 14,7683 14,7683 14,7683 14,7683 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-19 1 1 14,8047 14,8047 14,8047 14,8047 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-20 1 1 14,8353 14,8353 14,8353 14,8353 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-21 1 1 14,8138 14,8138 14,8138 14,8138 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-22 1 1 14,8869 14,8869 14,8869 14,8869 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-23 1 1 14,9077 14,9077 14,9077 14,9077 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-26 1 1 14,863 14,863 14,863 14,863 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-27 1 1 14,883 14,883 14,883 14,883 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-28 1 1 14,8925 14,8925 14,8925 14,8925 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-29 1 1 14,8546 14,8546 14,8546 14,8546 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-09-30 1 1 14,7608 14,7608 14,7608 14,7608 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-03 1 1 14,7517 14,7517 14,7517 14,7517 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-04 1 1 14,7649 14,7649 14,7649 14,7649 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-05 1 1 14,7434 14,7434 14,7434 14,7434 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-06 1 1 14,6787 14,6787 14,6787 14,6787 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-07 1 1 14,6575 14,6575 14,6575 14,6575 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-10 1 1 14,6964 14,6964 14,6964 14,6964 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-11 1 1 14,742 14,742 14,742 14,742 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-12 1 1 14,7152 14,7152 14,7152 14,7152 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-13 1 1 14,7428 14,7428 14,7428 14,7428 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-14 1 1 14,7723 14,7723 14,7723 14,7723 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-17 1 1 14,8311 14,8311 14,8311 14,8311 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-18 1 1 14,839 14,839 14,839 14,839 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-19 1 1 14,8792 14,8792 14,8792 14,8792 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-20 1 1 14,9054 14,9054 14,9054 14,9054 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-21 1 1 14,8777 14,8777 14,8777 14,8777 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-24 1 1 15,0155 15,0155 15,0155 15,0155 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-25 1 1 14,9273 14,9273 14,9273 14,9273 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-26 1 1 14,8239 14,8239 14,8239 14,8239 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-27 1 1 14,8159 14,8159 14,8159 14,8159 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-28 1 1 14,8065 14,8065 14,8065 14,8065 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-10-31 1 1 14,8944 14,8944 14,8944 14,8944 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-02 1 1 14,9138 14,9138 14,9138 14,9138 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-03 1 1 14,9443 14,9443 14,9443 14,9443 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-04 1 1 14,9149 14,9149 14,9149 14,9149 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-07 1 1 14,991 14,991 14,991 14,991 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-08 1 1 14,9729 14,9729 14,9729 14,9729 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-09 1 1 14,9733 14,9733 14,9733 14,9733 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-10 1 1 15,0191 15,0191 15,0191 15,0191 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-11 1 1 15,0497 15,0497 15,0497 15,0497 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-14 1 1 14,9613 14,9613 14,9613 14,9613 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-15 1 1 15,0563 15,0563 15,0563 15,0563 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-16 1 1 15,0475 15,0475 15,0475 15,0475 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-17 1 1 15,1494 15,1494 15,1494 15,1494 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-18 1 1 15,0769 15,0769 15,0769 15,0769 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-21 1 1 14,932 14,932 14,932 14,932 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-22 1 1 14,9668 14,9668 14,9668 14,9668 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-23 1 1 14,9015 14,9015 14,9015 14,9015 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-24 1 1 14,8849 14,8849 14,8849 14,8849 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-25 1 1 14,9187 14,9187 14,9187 14,9187 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-28 1 1 14,8513 14,8513 14,8513 14,8513 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-29 1 1 14,868 14,868 14,868 14,868 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-11-30 1 1 14,9108 14,9108 14,9108 14,9108 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-01 1 1 14,9008 14,9008 14,9008 14,9008 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-02 1 1 14,7777 14,7777 14,7777 14,7777 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-05 1 1 14,75 14,75 14,75 14,75 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-06 1 1 14,6557 14,6557 14,6557 14,6557 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-07 1 1 14,7753 14,7753 14,7753 14,7753 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-08 1 1 14,7743 14,7743 14,7743 14,7743 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-12 1 1 14,6259 14,6259 14,6259 14,6259 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-13 1 1 14,6107 14,6107 14,6107 14,6107 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-14 1 1 14,6038 14,6038 14,6038 14,6038 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-15 1 1 14,9352 14,9352 14,9352 14,9352 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-16 1 1 15,078 15,078 15,078 15,078 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-19 1 1 14,978 14,978 14,978 14,978 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-20 1 1 14,9093 14,9093 14,9093 14,9093 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-21 1 1 14,99 14,99 14,99 14,99 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-22 1 1 14,9624 14,9624 14,9624 14,9624 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-23 1 1 15,0468 15,0468 15,0468 15,0468 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-27 1 1 15,0856 15,0856 15,0856 15,0856 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-28 1 1 15,016 15,016 15,016 15,016 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-29 1 1 14,9646 14,9646 14,9646 14,9646 433987 Carlson Fund Management Company S.A Luxembourg Carlson Fund International Bond SEK 2005-12-30 1 1 15,0132 15,0132 15,0132 15,0132 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-03 1 1 37,0124 37,0124 37,0124 37,0124 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-04 1 1 37,0874 37,0874 37,0874 37,0874 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-05 1 1 37,0831 37,0831 37,0831 37,0831 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-07 1 1 37,0596 37,0596 37,0596 37,0596 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-10 1 1 37,1503 37,1503 37,1503 37,1503 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-11 1 1 37,1817 37,1817 37,1817 37,1817 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-12 1 1 37,1904 37,1904 37,1904 37,1904 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-13 1 1 37,1853 37,1853 37,1853 37,1853 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-14 1 1 37,2255 37,2255 37,2255 37,2255 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-17 1 1 37,2405 37,2405 37,2405 37,2405 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-18 1 1 37,2573 37,2573 37,2573 37,2573 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-19 1 1 37,2451 37,2451 37,2451 37,2451 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-20 1 1 37,2856 37,2856 37,2856 37,2856 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-21 1 1 37,2432 37,2432 37,2432 37,2432 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-24 1 1 37,3038 37,3038 37,3038 37,3038 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-25 1 1 37,3524 37,3524 37,3524 37,3524 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-26 1 1 37,3479 37,3479 37,3479 37,3479 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-27 1 1 37,3266 37,3266 37,3266 37,3266 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-28 1 1 37,3038 37,3038 37,3038 37,3038 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-01-31 1 1 37,3587 37,3587 37,3587 37,3587 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-01 1 1 37,3679 37,3679 37,3679 37,3679 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-02 1 1 37,392 37,392 37,392 37,392 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-03 1 1 37,3851 37,3851 37,3851 37,3851 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-04 1 1 37,3684 37,3684 37,3684 37,3684 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-07 1 1 37,4266 37,4266 37,4266 37,4266 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-08 1 1 37,4288 37,4288 37,4288 37,4288 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-09 1 1 37,415 37,415 37,415 37,415 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-10 1 1 37,4578 37,4578 37,4578 37,4578 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-11 1 1 37,5006 37,5006 37,5006 37,5006 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-14 1 1 37,5063 37,5063 37,5063 37,5063 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-15 1 1 37,4689 37,4689 37,4689 37,4689 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-16 1 1 37,4584 37,4584 37,4584 37,4584 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-17 1 1 37,4667 37,4667 37,4667 37,4667 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-18 1 1 37,4683 37,4683 37,4683 37,4683 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-21 1 1 37,3882 37,3882 37,3882 37,3882 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-22 1 1 37,3438 37,3438 37,3438 37,3438 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-23 1 1 37,3199 37,3199 37,3199 37,3199 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-24 1 1 37,3557 37,3557 37,3557 37,3557 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-25 1 1 37,3186 37,3186 37,3186 37,3186 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-02-28 1 1 37,3019 37,3019 37,3019 37,3019 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-01 1 1 37,3439 37,3439 37,3439 37,3439 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-02 1 1 37,3294 37,3294 37,3294 37,3294 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-03 1 1 37,297 37,297 37,297 37,297 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-04 1 1 37,3285 37,3285 37,3285 37,3285 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-07 1 1 37,409 37,409 37,409 37,409 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-08 1 1 37,4341 37,4341 37,4341 37,4341 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-09 1 1 37,4449 37,4449 37,4449 37,4449 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-10 1 1 37,4046 37,4046 37,4046 37,4046 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-11 1 1 37,3879 37,3879 37,3879 37,3879 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-14 1 1 37,3618 37,3618 37,3618 37,3618 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-15 1 1 37,3777 37,3777 37,3777 37,3777 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-16 1 1 37,4012 37,4012 37,4012 37,4012 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-17 1 1 37,3543 37,3543 37,3543 37,3543 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-18 1 1 37,3635 37,3635 37,3635 37,3635 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-21 1 1 37,3588 37,3588 37,3588 37,3588 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-22 1 1 37,352 37,352 37,352 37,352 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-23 1 1 37,3698 37,3698 37,3698 37,3698 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-24 1 1 37,3618 37,3618 37,3618 37,3618 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-29 1 1 37,3852 37,3852 37,3852 37,3852 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-30 1 1 37,4101 37,4101 37,4101 37,4101 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-03-31 1 1 37,4352 37,4352 37,4352 37,4352 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-01 1 1 37,4906 37,4906 37,4906 37,4906 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-04 1 1 37,5532 37,5532 37,5532 37,5532 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-05 1 1 37,5489 37,5489 37,5489 37,5489 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-06 1 1 37,5597 37,5597 37,5597 37,5597 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-07 1 1 37,562 37,562 37,562 37,562 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-08 1 1 37,5747 37,5747 37,5747 37,5747 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-11 1 1 37,5752 37,5752 37,5752 37,5752 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-12 1 1 37,5933 37,5933 37,5933 37,5933 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-13 1 1 37,6081 37,6081 37,6081 37,6081 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-14 1 1 37,6543 37,6543 37,6543 37,6543 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-15 1 1 37,6985 37,6985 37,6985 37,6985 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-18 1 1 37,7513 37,7513 37,7513 37,7513 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-19 1 1 37,7503 37,7503 37,7503 37,7503 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-20 1 1 37,7706 37,7706 37,7706 37,7706 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-21 1 1 37,7749 37,7749 37,7749 37,7749 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-22 1 1 37,8013 37,8013 37,8013 37,8013 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-25 1 1 37,8486 37,8486 37,8486 37,8486 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-26 1 1 37,9078 37,9078 37,9078 37,9078 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-27 1 1 37,8877 37,8877 37,8877 37,8877 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-28 1 1 37,9677 37,9677 37,9677 37,9677 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-04-29 1 1 37,9905 37,9905 37,9905 37,9905 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-02 1 1 38,0337 38,0337 38,0337 38,0337 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-03 1 1 38,0378 38,0378 38,0378 38,0378 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-04 1 1 38,0101 38,0101 38,0101 38,0101 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-06 1 1 37,9699 37,9699 37,9699 37,9699 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-09 1 1 37,9226 37,9226 37,9226 37,9226 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-10 1 1 37,9813 37,9813 37,9813 37,9813 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-11 1 1 38,0675 38,0675 38,0675 38,0675 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-12 1 1 38,0608 38,0608 38,0608 38,0608 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-13 1 1 38,0797 38,0797 38,0797 38,0797 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-17 1 1 38,125 38,125 38,125 38,125 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-18 1 1 38,1508 38,1508 38,1508 38,1508 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-19 1 1 38,1848 38,1848 38,1848 38,1848 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-20 1 1 38,1516 38,1516 38,1516 38,1516 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-23 1 1 38,1284 38,1284 38,1284 38,1284 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-24 1 1 38,187 38,187 38,187 38,187 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-25 1 1 38,1976 38,1976 38,1976 38,1976 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-26 1 1 38,2165 38,2165 38,2165 38,2165 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-27 1 1 38,1875 38,1875 38,1875 38,1875 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-30 1 1 38,1801 38,1801 38,1801 38,1801 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-05-31 1 1 38,1909 38,1909 38,1909 38,1909 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-01 1 1 38,2546 38,2546 38,2546 38,2546 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-02 1 1 38,2972 38,2972 38,2972 38,2972 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-03 1 1 38,3414 38,3414 38,3414 38,3414 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-07 1 1 38,405 38,405 38,405 38,405 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-08 1 1 38,4067 38,4067 38,4067 38,4067 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-09 1 1 38,5049 38,5049 38,5049 38,5049 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-10 1 1 38,5172 38,5172 38,5172 38,5172 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-13 1 1 38,5282 38,5282 38,5282 38,5282 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-14 1 1 38,498 38,498 38,498 38,498 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-15 1 1 38,4388 38,4388 38,4388 38,4388 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-16 1 1 38,3533 38,3533 38,3533 38,3533 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-17 1 1 38,3994 38,3994 38,3994 38,3994 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-20 1 1 38,4348 38,4348 38,4348 38,4348 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-21 1 1 38,5014 38,5014 38,5014 38,5014 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-22 1 1 38,6383 38,6383 38,6383 38,6383 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-27 1 1 38,6739 38,6739 38,6739 38,6739 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-28 1 1 38,6698 38,6698 38,6698 38,6698 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-29 1 1 38,6394 38,6394 38,6394 38,6394 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-06-30 1 1 38,6762 38,6762 38,6762 38,6762 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-01 1 1 38,691 38,691 38,691 38,691 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-04 1 1 38,6624 38,6624 38,6624 38,6624 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-05 1 1 38,6051 38,6051 38,6051 38,6051 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-06 1 1 38,6075 38,6075 38,6075 38,6075 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-07 1 1 38,7124 38,7124 38,7124 38,7124 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-08 1 1 38,6843 38,6843 38,6843 38,6843 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-11 1 1 38,6792 38,6792 38,6792 38,6792 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-12 1 1 38,6171 38,6171 38,6171 38,6171 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-13 1 1 38,5893 38,5893 38,5893 38,5893 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-14 1 1 38,58 38,58 38,58 38,58 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-15 1 1 38,5657 38,5657 38,5657 38,5657 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-18 1 1 38,5811 38,5811 38,5811 38,5811 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-19 1 1 38,5651 38,5651 38,5651 38,5651 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-20 1 1 38,5731 38,5731 38,5731 38,5731 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-21 1 1 38,5887 38,5887 38,5887 38,5887 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-22 1 1 38,6112 38,6112 38,6112 38,6112 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-25 1 1 38,6488 38,6488 38,6488 38,6488 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-26 1 1 38,6521 38,6521 38,6521 38,6521 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-27 1 1 38,6696 38,6696 38,6696 38,6696 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-28 1 1 38,6394 38,6394 38,6394 38,6394 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-07-29 1 1 38,6279 38,6279 38,6279 38,6279 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-01 1 1 38,541 38,541 38,541 38,541 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-02 1 1 38,4989 38,4989 38,4989 38,4989 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-03 1 1 38,4597 38,4597 38,4597 38,4597 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-04 1 1 38,4322 38,4322 38,4322 38,4322 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-05 1 1 38,468 38,468 38,468 38,468 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-08 1 1 38,4245 38,4245 38,4245 38,4245 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-09 1 1 38,4216 38,4216 38,4216 38,4216 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-10 1 1 38,45 38,45 38,45 38,45 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-11 1 1 38,4585 38,4585 38,4585 38,4585 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-12 1 1 38,4757 38,4757 38,4757 38,4757 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-16 1 1 38,504 38,504 38,504 38,504 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-17 1 1 38,5259 38,5259 38,5259 38,5259 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-18 1 1 38,5229 38,5229 38,5229 38,5229 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-19 1 1 38,5238 38,5238 38,5238 38,5238 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-22 1 1 38,5173 38,5173 38,5173 38,5173 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-23 1 1 38,5498 38,5498 38,5498 38,5498 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-24 1 1 38,5606 38,5606 38,5606 38,5606 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-25 1 1 38,5607 38,5607 38,5607 38,5607 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-26 1 1 38,5876 38,5876 38,5876 38,5876 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-29 1 1 38,5918 38,5918 38,5918 38,5918 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-30 1 1 38,5556 38,5556 38,5556 38,5556 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-08-31 1 1 38,5727 38,5727 38,5727 38,5727 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-01 1 1 38,6418 38,6418 38,6418 38,6418 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-02 1 1 38,6965 38,6965 38,6965 38,6965 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-05 1 1 38,7149 38,7149 38,7149 38,7149 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-06 1 1 38,6978 38,6978 38,6978 38,6978 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-07 1 1 38,6908 38,6908 38,6908 38,6908 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-08 1 1 38,6911 38,6911 38,6911 38,6911 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-09 1 1 38,7304 38,7304 38,7304 38,7304 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-12 1 1 38,7443 38,7443 38,7443 38,7443 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-13 1 1 38,6637 38,6637 38,6637 38,6637 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-14 1 1 38,691 38,691 38,691 38,691 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-15 1 1 38,6654 38,6654 38,6654 38,6654 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-16 1 1 38,6465 38,6465 38,6465 38,6465 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-19 1 1 38,6415 38,6415 38,6415 38,6415 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-20 1 1 38,6599 38,6599 38,6599 38,6599 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-21 1 1 38,7005 38,7005 38,7005 38,7005 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-22 1 1 38,7438 38,7438 38,7438 38,7438 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-23 1 1 38,7036 38,7036 38,7036 38,7036 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-26 1 1 38,6483 38,6483 38,6483 38,6483 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-27 1 1 38,6201 38,6201 38,6201 38,6201 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-28 1 1 38,5985 38,5985 38,5985 38,5985 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-29 1 1 38,5907 38,5907 38,5907 38,5907 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-09-30 1 1 38,5362 38,5362 38,5362 38,5362 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-03 1 1 38,5147 38,5147 38,5147 38,5147 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-04 1 1 38,4585 38,4585 38,4585 38,4585 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-05 1 1 38,5149 38,5149 38,5149 38,5149 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-06 1 1 38,4654 38,4654 38,4654 38,4654 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-07 1 1 38,4809 38,4809 38,4809 38,4809 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-10 1 1 38,4657 38,4657 38,4657 38,4657 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-11 1 1 38,4645 38,4645 38,4645 38,4645 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-12 1 1 38,4451 38,4451 38,4451 38,4451 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-13 1 1 38,4113 38,4113 38,4113 38,4113 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-14 1 1 38,4367 38,4367 38,4367 38,4367 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-17 1 1 38,4439 38,4439 38,4439 38,4439 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-18 1 1 38,436 38,436 38,436 38,436 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-19 1 1 38,464 38,464 38,464 38,464 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-20 1 1 38,4651 38,4651 38,4651 38,4651 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-21 1 1 38,4715 38,4715 38,4715 38,4715 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-24 1 1 38,5008 38,5008 38,5008 38,5008 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-25 1 1 38,4867 38,4867 38,4867 38,4867 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-26 1 1 38,4301 38,4301 38,4301 38,4301 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-27 1 1 38,386 38,386 38,386 38,386 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-28 1 1 38,3997 38,3997 38,3997 38,3997 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-10-31 1 1 38,3954 38,3954 38,3954 38,3954 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-02 1 1 38,3437 38,3437 38,3437 38,3437 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-03 1 1 38,3257 38,3257 38,3257 38,3257 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-04 1 1 38,2774 38,2774 38,2774 38,2774 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-07 1 1 38,2521 38,2521 38,2521 38,2521 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-08 1 1 38,2205 38,2205 38,2205 38,2205 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-09 1 1 38,2466 38,2466 38,2466 38,2466 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-10 1 1 38,2234 38,2234 38,2234 38,2234 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-11 1 1 38,2367 38,2367 38,2367 38,2367 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-14 1 1 38,2873 38,2873 38,2873 38,2873 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-15 1 1 38,2487 38,2487 38,2487 38,2487 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-16 1 1 38,2779 38,2779 38,2779 38,2779 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-17 1 1 38,2901 38,2901 38,2901 38,2901 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-18 1 1 38,2984 38,2984 38,2984 38,2984 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-21 1 1 38,2377 38,2377 38,2377 38,2377 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-22 1 1 38,279 38,279 38,279 38,279 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-23 1 1 38,2938 38,2938 38,2938 38,2938 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-24 1 1 38,3367 38,3367 38,3367 38,3367 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-25 1 1 38,3685 38,3685 38,3685 38,3685 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-28 1 1 38,3134 38,3134 38,3134 38,3134 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-29 1 1 38,3626 38,3626 38,3626 38,3626 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-11-30 1 1 38,3244 38,3244 38,3244 38,3244 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-01 1 1 38,3301 38,3301 38,3301 38,3301 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-02 1 1 38,2683 38,2683 38,2683 38,2683 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-05 1 1 38,2439 38,2439 38,2439 38,2439 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-06 1 1 38,2139 38,2139 38,2139 38,2139 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-07 1 1 38,2632 38,2632 38,2632 38,2632 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-08 1 1 38,2026 38,2026 38,2026 38,2026 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-12 1 1 38,2089 38,2089 38,2089 38,2089 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-13 1 1 38,2091 38,2091 38,2091 38,2091 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-14 1 1 38,2684 38,2684 38,2684 38,2684 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-15 1 1 38,28 38,28 38,28 38,28 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-16 1 1 38,2817 38,2817 38,2817 38,2817 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-19 1 1 38,3194 38,3194 38,3194 38,3194 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-20 1 1 38,3123 38,3123 38,3123 38,3123 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-21 1 1 38,2906 38,2906 38,2906 38,2906 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-22 1 1 38,2199 38,2199 38,2199 38,2199 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-23 1 1 38,2547 38,2547 38,2547 38,2547 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-27 1 1 38,297 38,297 38,297 38,297 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-28 1 1 38,3101 38,3101 38,3101 38,3101 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-29 1 1 38,3037 38,3037 38,3037 38,3037 734558 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Long Bond SEK 2005-12-30 1 1 38,3225 38,3225 38,3225 38,3225 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-03 1 1 22,9138 22,9138 22,9138 22,9138 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-04 1 1 22,9166 22,9166 22,9166 22,9166 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-05 1 1 22,9166 22,9166 22,9166 22,9166 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-07 1 1 22,9182 22,9182 22,9182 22,9182 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-10 1 1 22,9235 22,9235 22,9235 22,9235 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-11 1 1 22,9248 22,9248 22,9248 22,9248 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-12 1 1 22,9266 22,9266 22,9266 22,9266 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-13 1 1 22,9276 22,9276 22,9276 22,9276 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-14 1 1 22,9289 22,9289 22,9289 22,9289 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-17 1 1 22,9323 22,9323 22,9323 22,9323 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-18 1 1 22,9346 22,9346 22,9346 22,9346 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-19 1 1 22,9353 22,9353 22,9353 22,9353 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-20 1 1 22,9377 22,9377 22,9377 22,9377 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-21 1 1 22,939 22,939 22,939 22,939 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-24 1 1 22,9442 22,9442 22,9442 22,9442 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-25 1 1 22,9466 22,9466 22,9466 22,9466 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-26 1 1 22,9482 22,9482 22,9482 22,9482 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-27 1 1 22,9491 22,9491 22,9491 22,9491 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-28 1 1 22,9516 22,9516 22,9516 22,9516 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-01-31 1 1 22,9558 22,9558 22,9558 22,9558 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-01 1 1 22,9563 22,9563 22,9563 22,9563 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-02 1 1 22,9579 22,9579 22,9579 22,9579 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-03 1 1 22,9573 22,9573 22,9573 22,9573 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-04 1 1 22,9586 22,9586 22,9586 22,9586 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-07 1 1 22,9624 22,9624 22,9624 22,9624 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-08 1 1 22,9629 22,9629 22,9629 22,9629 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-09 1 1 22,9627 22,9627 22,9627 22,9627 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-10 1 1 22,9645 22,9645 22,9645 22,9645 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-11 1 1 22,9667 22,9667 22,9667 22,9667 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-14 1 1 22,97 22,97 22,97 22,97 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-15 1 1 22,9714 22,9714 22,9714 22,9714 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-16 1 1 22,9722 22,9722 22,9722 22,9722 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-17 1 1 22,9738 22,9738 22,9738 22,9738 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-18 1 1 22,9772 22,9772 22,9772 22,9772 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-21 1 1 22,9789 22,9789 22,9789 22,9789 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-22 1 1 22,9799 22,9799 22,9799 22,9799 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-23 1 1 22,9807 22,9807 22,9807 22,9807 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-24 1 1 22,9817 22,9817 22,9817 22,9817 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-25 1 1 22,9826 22,9826 22,9826 22,9826 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-02-28 1 1 22,9833 22,9833 22,9833 22,9833 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-01 1 1 23,0008 23,0008 23,0008 23,0008 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-02 1 1 22,9918 22,9918 22,9918 22,9918 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-03 1 1 22,991 22,991 22,991 22,991 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-04 1 1 22,9935 22,9935 22,9935 22,9935 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-07 1 1 22,9965 22,9965 22,9965 22,9965 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-08 1 1 22,997 22,997 22,997 22,997 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-09 1 1 22,9998 22,9998 22,9998 22,9998 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-10 1 1 23,0028 23,0028 23,0028 23,0028 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-11 1 1 23,0043 23,0043 23,0043 23,0043 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-14 1 1 23,0041 23,0041 23,0041 23,0041 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-15 1 1 23,0049 23,0049 23,0049 23,0049 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-16 1 1 23,0062 23,0062 23,0062 23,0062 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-17 1 1 23,0054 23,0054 23,0054 23,0054 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-18 1 1 23,008 23,008 23,008 23,008 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-21 1 1 23,0089 23,0089 23,0089 23,0089 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-22 1 1 23,0096 23,0096 23,0096 23,0096 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-23 1 1 23,0105 23,0105 23,0105 23,0105 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-24 1 1 23,0131 23,0131 23,0131 23,0131 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-29 1 1 23,016 23,016 23,016 23,016 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-30 1 1 23,0185 23,0185 23,0185 23,0185 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-03-31 1 1 23,0191 23,0191 23,0191 23,0191 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-01 1 1 23,023 23,023 23,023 23,023 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-04 1 1 23,0234 23,0234 23,0234 23,0234 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-05 1 1 23,0219 23,0219 23,0219 23,0219 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-06 1 1 23,0229 23,0229 23,0229 23,0229 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-07 1 1 23,0243 23,0243 23,0243 23,0243 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-08 1 1 23,0263 23,0263 23,0263 23,0263 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-11 1 1 23,0291 23,0291 23,0291 23,0291 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-12 1 1 23,0304 23,0304 23,0304 23,0304 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-13 1 1 23,0327 23,0327 23,0327 23,0327 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-14 1 1 23,0339 23,0339 23,0339 23,0339 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-15 1 1 23,0384 23,0384 23,0384 23,0384 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-18 1 1 23,0426 23,0426 23,0426 23,0426 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-19 1 1 23,0444 23,0444 23,0444 23,0444 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-20 1 1 23,0451 23,0451 23,0451 23,0451 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-21 1 1 23,0457 23,0457 23,0457 23,0457 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-22 1 1 23,0472 23,0472 23,0472 23,0472 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-25 1 1 23,0497 23,0497 23,0497 23,0497 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-26 1 1 23,0496 23,0496 23,0496 23,0496 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-27 1 1 23,0517 23,0517 23,0517 23,0517 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-28 1 1 23,0549 23,0549 23,0549 23,0549 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-04-29 1 1 23,0592 23,0592 23,0592 23,0592 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-02 1 1 23,0652 23,0652 23,0652 23,0652 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-03 1 1 23,0693 23,0693 23,0693 23,0693 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-04 1 1 23,0744 23,0744 23,0744 23,0744 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-06 1 1 23,0759 23,0759 23,0759 23,0759 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-09 1 1 23,0779 23,0779 23,0779 23,0779 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-10 1 1 23,079 23,079 23,079 23,079 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-11 1 1 23,085 23,085 23,085 23,085 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-12 1 1 23,0854 23,0854 23,0854 23,0854 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-13 1 1 23,0856 23,0856 23,0856 23,0856 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-17 1 1 23,0923 23,0923 23,0923 23,0923 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-18 1 1 23,093 23,093 23,093 23,093 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-19 1 1 23,098 23,098 23,098 23,098 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-20 1 1 23,0997 23,0997 23,0997 23,0997 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-23 1 1 23,0999 23,0999 23,0999 23,0999 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-24 1 1 23,1003 23,1003 23,1003 23,1003 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-25 1 1 23,1031 23,1031 23,1031 23,1031 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-26 1 1 23,1035 23,1035 23,1035 23,1035 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-27 1 1 23,1042 23,1042 23,1042 23,1042 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-30 1 1 23,1076 23,1076 23,1076 23,1076 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-05-31 1 1 23,1064 23,1064 23,1064 23,1064 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-01 1 1 23,1097 23,1097 23,1097 23,1097 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-02 1 1 23,1138 23,1138 23,1138 23,1138 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-03 1 1 23,1153 23,1153 23,1153 23,1153 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-07 1 1 23,1193 23,1193 23,1193 23,1193 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-08 1 1 23,1209 23,1209 23,1209 23,1209 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-09 1 1 23,1328 23,1328 23,1328 23,1328 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-10 1 1 23,1362 23,1362 23,1362 23,1362 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-13 1 1 23,1396 23,1396 23,1396 23,1396 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-14 1 1 23,142 23,142 23,142 23,142 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-15 1 1 23,1419 23,1419 23,1419 23,1419 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-16 1 1 23,1449 23,1449 23,1449 23,1449 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-17 1 1 23,1478 23,1478 23,1478 23,1478 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-20 1 1 23,1507 23,1507 23,1507 23,1507 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-21 1 1 23,1516 23,1516 23,1516 23,1516 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-22 1 1 23,1656 23,1656 23,1656 23,1656 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-27 1 1 23,1718 23,1718 23,1718 23,1718 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-28 1 1 23,1724 23,1724 23,1724 23,1724 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-29 1 1 23,1716 23,1716 23,1716 23,1716 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-06-30 1 1 23,172 23,172 23,172 23,172 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-01 1 1 23,1723 23,1723 23,1723 23,1723 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-04 1 1 23,1745 23,1745 23,1745 23,1745 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-05 1 1 23,1735 23,1735 23,1735 23,1735 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-06 1 1 23,1735 23,1735 23,1735 23,1735 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-07 1 1 23,1752 23,1752 23,1752 23,1752 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-08 1 1 23,1784 23,1784 23,1784 23,1784 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-11 1 1 23,1806 23,1806 23,1806 23,1806 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-12 1 1 23,1805 23,1805 23,1805 23,1805 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-13 1 1 23,1811 23,1811 23,1811 23,1811 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-14 1 1 23,1815 23,1815 23,1815 23,1815 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-15 1 1 23,1822 23,1822 23,1822 23,1822 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-18 1 1 23,1834 23,1834 23,1834 23,1834 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-19 1 1 23,1853 23,1853 23,1853 23,1853 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-20 1 1 23,1859 23,1859 23,1859 23,1859 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-21 1 1 23,1867 23,1867 23,1867 23,1867 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-22 1 1 23,1878 23,1878 23,1878 23,1878 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-25 1 1 23,1904 23,1904 23,1904 23,1904 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-26 1 1 23,191 23,191 23,191 23,191 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-27 1 1 23,1915 23,1915 23,1915 23,1915 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-28 1 1 23,1937 23,1937 23,1937 23,1937 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-07-29 1 1 23,1926 23,1926 23,1926 23,1926 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-01 1 1 23,1925 23,1925 23,1925 23,1925 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-02 1 1 23,1903 23,1903 23,1903 23,1903 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-03 1 1 23,1891 23,1891 23,1891 23,1891 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-04 1 1 23,1884 23,1884 23,1884 23,1884 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-05 1 1 23,189 23,189 23,189 23,189 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-08 1 1 23,1906 23,1906 23,1906 23,1906 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-09 1 1 23,1907 23,1907 23,1907 23,1907 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-10 1 1 23,1915 23,1915 23,1915 23,1915 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-11 1 1 23,1928 23,1928 23,1928 23,1928 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-12 1 1 23,194 23,194 23,194 23,194 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-16 1 1 23,1979 23,1979 23,1979 23,1979 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-17 1 1 23,1988 23,1988 23,1988 23,1988 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-18 1 1 23,1989 23,1989 23,1989 23,1989 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-19 1 1 23,1995 23,1995 23,1995 23,1995 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-22 1 1 23,2019 23,2019 23,2019 23,2019 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-23 1 1 23,2027 23,2027 23,2027 23,2027 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-24 1 1 23,2036 23,2036 23,2036 23,2036 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-25 1 1 23,2042 23,2042 23,2042 23,2042 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-26 1 1 23,2046 23,2046 23,2046 23,2046 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-29 1 1 23,2057 23,2057 23,2057 23,2057 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-30 1 1 23,2055 23,2055 23,2055 23,2055 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-08-31 1 1 23,205 23,205 23,205 23,205 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-01 1 1 23,2072 23,2072 23,2072 23,2072 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-02 1 1 23,2102 23,2102 23,2102 23,2102 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-05 1 1 23,2146 23,2146 23,2146 23,2146 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-06 1 1 23,2155 23,2155 23,2155 23,2155 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-07 1 1 23,2158 23,2158 23,2158 23,2158 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-08 1 1 23,2168 23,2168 23,2168 23,2168 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-09 1 1 23,218 23,218 23,218 23,218 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-12 1 1 23,2205 23,2205 23,2205 23,2205 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-13 1 1 23,2193 23,2193 23,2193 23,2193 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-14 1 1 23,2161 23,2161 23,2161 23,2161 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-15 1 1 23,2167 23,2167 23,2167 23,2167 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-16 1 1 23,2168 23,2168 23,2168 23,2168 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-19 1 1 23,219 23,219 23,219 23,219 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-20 1 1 23,2202 23,2202 23,2202 23,2202 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-21 1 1 23,2227 23,2227 23,2227 23,2227 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-22 1 1 23,2246 23,2246 23,2246 23,2246 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-23 1 1 23,2257 23,2257 23,2257 23,2257 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-26 1 1 23,2262 23,2262 23,2262 23,2262 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-27 1 1 23,2262 23,2262 23,2262 23,2262 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-28 1 1 23,2295 23,2295 23,2295 23,2295 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-29 1 1 23,2305 23,2305 23,2305 23,2305 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-09-30 1 1 23,2271 23,2271 23,2271 23,2271 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-03 1 1 23,2259 23,2259 23,2259 23,2259 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-04 1 1 23,2225 23,2225 23,2225 23,2225 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-05 1 1 23,2239 23,2239 23,2239 23,2239 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-06 1 1 23,2262 23,2262 23,2262 23,2262 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-07 1 1 23,2271 23,2271 23,2271 23,2271 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-10 1 1 23,2272 23,2272 23,2272 23,2272 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-11 1 1 23,2273 23,2273 23,2273 23,2273 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-12 1 1 23,2285 23,2285 23,2285 23,2285 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-13 1 1 23,2288 23,2288 23,2288 23,2288 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-14 1 1 23,2354 23,2354 23,2354 23,2354 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-17 1 1 23,2386 23,2386 23,2386 23,2386 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-18 1 1 23,2392 23,2392 23,2392 23,2392 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-19 1 1 23,24 23,24 23,24 23,24 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-20 1 1 23,2418 23,2418 23,2418 23,2418 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-21 1 1 23,2471 23,2471 23,2471 23,2471 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-24 1 1 23,2495 23,2495 23,2495 23,2495 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-25 1 1 23,2505 23,2505 23,2505 23,2505 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-26 1 1 23,25 23,25 23,25 23,25 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-27 1 1 23,2482 23,2482 23,2482 23,2482 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-28 1 1 23,2492 23,2492 23,2492 23,2492 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-10-31 1 1 23,25 23,25 23,25 23,25 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-02 1 1 23,251 23,251 23,251 23,251 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-03 1 1 23,2488 23,2488 23,2488 23,2488 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-04 1 1 23,25 23,25 23,25 23,25 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-07 1 1 23,2457 23,2457 23,2457 23,2457 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-08 1 1 23,2447 23,2447 23,2447 23,2447 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-09 1 1 23,2456 23,2456 23,2456 23,2456 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-10 1 1 23,25 23,25 23,25 23,25 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-11 1 1 23,252 23,252 23,252 23,252 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-14 1 1 23,2542 23,2542 23,2542 23,2542 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-15 1 1 23,255 23,255 23,255 23,255 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-16 1 1 23,2552 23,2552 23,2552 23,2552 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-17 1 1 23,2577 23,2577 23,2577 23,2577 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-18 1 1 23,2577 23,2577 23,2577 23,2577 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-21 1 1 23,256 23,256 23,256 23,256 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-22 1 1 23,2593 23,2593 23,2593 23,2593 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-23 1 1 23,2613 23,2613 23,2613 23,2613 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-24 1 1 23,2625 23,2625 23,2625 23,2625 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-25 1 1 23,2647 23,2647 23,2647 23,2647 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-28 1 1 23,2625 23,2625 23,2625 23,2625 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-29 1 1 23,2634 23,2634 23,2634 23,2634 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-11-30 1 1 23,2626 23,2626 23,2626 23,2626 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-01 1 1 23,263 23,263 23,263 23,263 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-02 1 1 23,2598 23,2598 23,2598 23,2598 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-05 1 1 23,2565 23,2565 23,2565 23,2565 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-06 1 1 23,2534 23,2534 23,2534 23,2534 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-07 1 1 23,2541 23,2541 23,2541 23,2541 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-08 1 1 23,2547 23,2547 23,2547 23,2547 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-12 1 1 23,2569 23,2569 23,2569 23,2569 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-13 1 1 23,2575 23,2575 23,2575 23,2575 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-14 1 1 23,2594 23,2594 23,2594 23,2594 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-15 1 1 23,2602 23,2602 23,2602 23,2602 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-16 1 1 23,2614 23,2614 23,2614 23,2614 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-19 1 1 23,2638 23,2638 23,2638 23,2638 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-20 1 1 23,2654 23,2654 23,2654 23,2654 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-21 1 1 23,2666 23,2666 23,2666 23,2666 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-22 1 1 23,2676 23,2676 23,2676 23,2676 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-23 1 1 23,2683 23,2683 23,2683 23,2683 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-27 1 1 23,2714 23,2714 23,2714 23,2714 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-28 1 1 23,2723 23,2723 23,2723 23,2723 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-29 1 1 23,2733 23,2733 23,2733 23,2733 770388 Carlson Fund Management Company S.A Luxembourg Carlson Fund SEK Short Bond SEK 2005-12-30 1 1 23,2752 23,2752 23,2752 23,2752 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-03 1 1 757,22 757,22 757,22 757,22 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-04 1 1 755,9 755,9 755,9 755,9 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-05 1 1 753,71 753,71 753,71 753,71 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-07 1 1 754,38 754,38 754,38 754,38 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-10 1 1 760,12 760,12 760,12 760,12 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-11 1 1 760,64 760,64 760,64 760,64 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-12 1 1 755,53 755,53 755,53 755,53 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-13 1 1 758,11 758,11 758,11 758,11 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-14 1 1 758,97 758,97 758,97 758,97 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-17 1 1 763,38 763,38 763,38 763,38 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-18 1 1 760,72 760,72 760,72 760,72 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-19 1 1 766,95 766,95 766,95 766,95 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-20 1 1 763,18 763,18 763,18 763,18 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-21 1 1 761,85 761,85 761,85 761,85 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-24 1 1 757,1 757,1 757,1 757,1 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-25 1 1 763,07 763,07 763,07 763,07 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-26 1 1 765,58 765,58 765,58 765,58 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-27 1 1 766,5 766,5 766,5 766,5 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-28 1 1 765,92 765,92 765,92 765,92 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-01-31 1 1 769,28 769,28 769,28 769,28 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-01 1 1 774,74 774,74 774,74 774,74 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-02 1 1 780,41 780,41 780,41 780,41 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-03 1 1 781,13 781,13 781,13 781,13 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-04 1 1 787,59 787,59 787,59 787,59 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-07 1 1 797,42 797,42 797,42 797,42 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-08 1 1 799,36 799,36 799,36 799,36 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-09 1 1 801,94 801,94 801,94 801,94 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-10 1 1 796,48 796,48 796,48 796,48 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-11 1 1 796,75 796,75 796,75 796,75 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-14 1 1 801,82 801,82 801,82 801,82 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-15 1 1 801,1 801,1 801,1 801,1 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-16 1 1 802,71 802,71 802,71 802,71 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-17 1 1 808,34 808,34 808,34 808,34 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-18 1 1 808,4 808,4 808,4 808,4 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-21 1 1 806,69 806,69 806,69 806,69 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-22 1 1 802,14 802,14 802,14 802,14 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-23 1 1 802,44 802,44 802,44 802,44 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-24 1 1 809,57 809,57 809,57 809,57 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-25 1 1 815,15 815,15 815,15 815,15 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-02-28 1 1 818,3 818,3 818,3 818,3 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-01 1 1 819,36 819,36 819,36 819,36 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-02 1 1 822,48 822,48 822,48 822,48 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-03 1 1 825,98 825,98 825,98 825,98 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-04 1 1 831,55 831,55 831,55 831,55 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-07 1 1 832,2 832,2 832,2 832,2 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-08 1 1 834,16 834,16 834,16 834,16 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-09 1 1 831,35 831,35 831,35 831,35 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-10 1 1 827,42 827,42 827,42 827,42 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-11 1 1 830,47 830,47 830,47 830,47 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-14 1 1 830,93 830,93 830,93 830,93 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-15 1 1 835,16 835,16 835,16 835,16 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-16 1 1 833,16 833,16 833,16 833,16 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-17 1 1 835,44 835,44 835,44 835,44 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-18 1 1 837,41 837,41 837,41 837,41 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-21 1 1 840,2 840,2 840,2 840,2 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-22 1 1 842,29 842,29 842,29 842,29 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-23 1 1 839,99 839,99 839,99 839,99 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-24 1 1 845,49 845,49 845,49 845,49 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-29 1 1 845,4 845,4 845,4 845,4 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-30 1 1 840,33 840,33 840,33 840,33 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-03-31 1 1 847,12 847,12 847,12 847,12 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-01 1 1 849,28 849,28 849,28 849,28 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-04 1 1 850,17 850,17 850,17 850,17 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-05 1 1 855,08 855,08 855,08 855,08 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-06 1 1 861,21 861,21 861,21 861,21 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-07 1 1 862,7 862,7 862,7 862,7 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-08 1 1 866,29 866,29 866,29 866,29 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-11 1 1 865 865 865 865 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-12 1 1 861,17 861,17 861,17 861,17 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-13 1 1 867,77 867,77 867,77 867,77 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-14 1 1 869,19 869,19 869,19 869,19 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-15 1 1 855 855 855 855 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-18 1 1 834,64 834,64 834,64 834,64 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-19 1 1 843,26 843,26 843,26 843,26 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-20 1 1 847,09 847,09 847,09 847,09 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-21 1 1 842,26 842,26 842,26 842,26 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-22 1 1 842,67 842,67 842,67 842,67 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-25 1 1 840,55 840,55 840,55 840,55 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-26 1 1 837,12 837,12 837,12 837,12 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-27 1 1 819,11 819,11 819,11 819,11 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-28 1 1 813,54 813,54 813,54 813,54 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-04-29 1 1 816,33 816,33 816,33 816,33 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-02 1 1 826,36 826,36 826,36 826,36 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-03 1 1 832,13 832,13 832,13 832,13 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-04 1 1 825,46 825,46 825,46 825,46 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-06 1 1 830,61 830,61 830,61 830,61 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-09 1 1 830,9 830,9 830,9 830,9 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-10 1 1 825,63 825,63 825,63 825,63 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-11 1 1 821,16 821,16 821,16 821,16 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-12 1 1 826,51 826,51 826,51 826,51 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-13 1 1 826,11 826,11 826,11 826,11 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-16 1 1 831,7 831,7 831,7 831,7 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-17 1 1 835,32 835,32 835,32 835,32 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-18 1 1 840,62 840,62 840,62 840,62 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-19 1 1 843,05 843,05 843,05 843,05 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-20 1 1 841,63 841,63 841,63 841,63 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-23 1 1 846,58 846,58 846,58 846,58 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-24 1 1 849,14 849,14 849,14 849,14 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-25 1 1 850,76 850,76 850,76 850,76 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-26 1 1 858,57 858,57 858,57 858,57 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-27 1 1 859,08 859,08 859,08 859,08 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-30 1 1 860,19 860,19 860,19 860,19 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-05-31 1 1 862,5 862,5 862,5 862,5 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-01 1 1 858,82 858,82 858,82 858,82 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-02 1 1 856,85 856,85 856,85 856,85 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-03 1 1 859,73 859,73 859,73 859,73 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-07 1 1 863,96 863,96 863,96 863,96 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-08 1 1 874,05 874,05 874,05 874,05 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-09 1 1 875,72 875,72 875,72 875,72 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-10 1 1 880,12 880,12 880,12 880,12 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-13 1 1 869,06 869,06 869,06 869,06 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-14 1 1 870,98 870,98 870,98 870,98 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-15 1 1 874,1 874,1 874,1 874,1 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-16 1 1 869,9 869,9 869,9 869,9 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-17 1 1 874,37 874,37 874,37 874,37 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-20 1 1 874,55 874,55 874,55 874,55 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-21 1 1 875,59 875,59 875,59 875,59 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-22 1 1 881,2 881,2 881,2 881,2 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-23 1 1 880,32 880,32 880,32 880,32 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-27 1 1 870,83 870,83 870,83 870,83 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-28 1 1 877,29 877,29 877,29 877,29 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-29 1 1 879,73 879,73 879,73 879,73 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-06-30 1 1 884,05 884,05 884,05 884,05 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-01 1 1 886,11 886,11 886,11 886,11 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-04 1 1 891,3 891,3 891,3 891,3 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-05 1 1 893,79 893,79 893,79 893,79 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-06 1 1 891,32 891,32 891,32 891,32 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-07 1 1 874,26 874,26 874,26 874,26 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-08 1 1 887,6 887,6 887,6 887,6 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-11 1 1 900,46 900,46 900,46 900,46 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-12 1 1 905,03 905,03 905,03 905,03 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-13 1 1 908,29 908,29 908,29 908,29 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-14 1 1 905,44 905,44 905,44 905,44 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-15 1 1 903,04 903,04 903,04 903,04 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-18 1 1 903,77 903,77 903,77 903,77 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-19 1 1 902,13 902,13 902,13 902,13 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-20 1 1 901,86 901,86 901,86 901,86 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-21 1 1 907,33 907,33 907,33 907,33 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-22 1 1 911,7 911,7 911,7 911,7 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-25 1 1 912,22 912,22 912,22 912,22 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-26 1 1 912,81 912,81 912,81 912,81 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-27 1 1 916,67 916,67 916,67 916,67 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-28 1 1 920,82 920,82 920,82 920,82 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-07-29 1 1 921,23 921,23 921,23 921,23 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-01 1 1 926,83 926,83 926,83 926,83 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-02 1 1 927,14 927,14 927,14 927,14 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-03 1 1 932,26 932,26 932,26 932,26 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-04 1 1 926,98 926,98 926,98 926,98 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-05 1 1 926,83 926,83 926,83 926,83 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-08 1 1 938,32 938,32 938,32 938,32 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-09 1 1 947,61 947,61 947,61 947,61 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-10 1 1 953,82 953,82 953,82 953,82 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-11 1 1 943,74 943,74 943,74 943,74 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-12 1 1 945,9 945,9 945,9 945,9 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-15 1 1 946,99 946,99 946,99 946,99 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-16 1 1 951,88 951,88 951,88 951,88 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-17 1 1 949,87 949,87 949,87 949,87 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-18 1 1 949,51 949,51 949,51 949,51 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-19 1 1 955,94 955,94 955,94 955,94 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-22 1 1 957,65 957,65 957,65 957,65 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-23 1 1 957,75 957,75 957,75 957,75 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-24 1 1 943,45 943,45 943,45 943,45 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-25 1 1 937,35 937,35 937,35 937,35 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-26 1 1 941,86 941,86 941,86 941,86 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-29 1 1 939,88 939,88 939,88 939,88 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-30 1 1 946,52 946,52 946,52 946,52 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-08-31 1 1 953,75 953,75 953,75 953,75 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-01 1 1 963,04 963,04 963,04 963,04 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-02 1 1 958,85 958,85 958,85 958,85 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-05 1 1 962,76 962,76 962,76 962,76 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-06 1 1 968,7 968,7 968,7 968,7 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-07 1 1 974,83 974,83 974,83 974,83 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-08 1 1 975,56 975,56 975,56 975,56 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-09 1 1 980,41 980,41 980,41 980,41 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-12 1 1 979,72 979,72 979,72 979,72 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-13 1 1 976,12 976,12 976,12 976,12 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-14 1 1 975,79 975,79 975,79 975,79 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-15 1 1 979,41 979,41 979,41 979,41 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-16 1 1 981,86 981,86 981,86 981,86 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-19 1 1 986,38 986,38 986,38 986,38 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-20 1 1 981,63 981,63 981,63 981,63 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-21 1 1 979,17 979,17 979,17 979,17 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-22 1 1 977 977 977 977 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-23 1 1 981,24 981,24 981,24 981,24 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-26 1 1 987 987 987 987 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-27 1 1 991,27 991,27 991,27 991,27 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-28 1 1 994,34 994,34 994,34 994,34 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-29 1 1 994,97 994,97 994,97 994,97 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-09-30 1 1 998,94 998,94 998,94 998,94 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-03 1 1 1002,98 1002,98 1002,98 1002,98 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-04 1 1 1006,86 1006,86 1006,86 1006,86 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-05 1 1 1003,03 1003,03 1003,03 1003,03 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-06 1 1 989,17 989,17 989,17 989,17 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-07 1 1 991,05 991,05 991,05 991,05 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-10 1 1 999,67 999,67 999,67 999,67 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-11 1 1 1002,22 1002,22 1002,22 1002,22 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-12 1 1 997,18 997,18 997,18 997,18 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-13 1 1 977,21 977,21 977,21 977,21 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-14 1 1 972,56 972,56 972,56 972,56 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-17 1 1 972,57 972,57 972,57 972,57 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-18 1 1 974,31 974,31 974,31 974,31 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-19 1 1 951,13 951,13 951,13 951,13 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-20 1 1 957,12 957,12 957,12 957,12 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-21 1 1 939,41 939,41 939,41 939,41 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-24 1 1 954,21 954,21 954,21 954,21 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-25 1 1 964,51 964,51 964,51 964,51 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-26 1 1 964,33 964,33 964,33 964,33 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-27 1 1 964,41 964,41 964,41 964,41 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-28 1 1 962 962 962 962 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-10-31 1 1 975,73 975,73 975,73 975,73 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-01 1 1 981,79 981,79 981,79 981,79 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-02 1 1 988,06 988,06 988,06 988,06 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-03 1 1 998,07 998,07 998,07 998,07 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-04 1 1 999,28 999,28 999,28 999,28 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-07 1 1 1000,32 1000,32 1000,32 1000,32 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-08 1 1 998,71 998,71 998,71 998,71 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-09 1 1 1000,56 1000,56 1000,56 1000,56 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-10 1 1 1007,54 1007,54 1007,54 1007,54 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-11 1 1 1009,46 1009,46 1009,46 1009,46 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-14 1 1 1012,61 1012,61 1012,61 1012,61 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-15 1 1 1012,9 1012,9 1012,9 1012,9 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-16 1 1 1010,36 1010,36 1010,36 1010,36 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-17 1 1 1013,81 1013,81 1013,81 1013,81 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-18 1 1 1019,34 1019,34 1019,34 1019,34 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-21 1 1 1022,82 1022,82 1022,82 1022,82 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-22 1 1 1027,68 1027,68 1027,68 1027,68 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-23 1 1 1027,4 1027,4 1027,4 1027,4 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-24 1 1 1027,28 1027,28 1027,28 1027,28 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-25 1 1 1031,45 1031,45 1031,45 1031,45 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-28 1 1 1033,05 1033,05 1033,05 1033,05 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-29 1 1 1034,87 1034,87 1034,87 1034,87 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-11-30 1 1 1031,79 1031,79 1031,79 1031,79 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-01 1 1 1040,47 1040,47 1040,47 1040,47 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-02 1 1 1046,18 1046,18 1046,18 1046,18 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-05 1 1 1047,5 1047,5 1047,5 1047,5 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-06 1 1 1047,59 1047,59 1047,59 1047,59 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-07 1 1 1052,84 1052,84 1052,84 1052,84 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-08 1 1 1050,47 1050,47 1050,47 1050,47 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-12 1 1 1058,61 1058,61 1058,61 1058,61 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-13 1 1 1060,19 1060,19 1060,19 1060,19 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-14 1 1 1056,36 1056,36 1056,36 1056,36 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-15 1 1 1056,73 1056,73 1056,73 1056,73 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-16 1 1 1061,54 1061,54 1061,54 1061,54 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-19 1 1 1066,15 1066,15 1066,15 1066,15 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-20 1 1 1067,99 1067,99 1067,99 1067,99 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-21 1 1 1076,38 1076,38 1076,38 1076,38 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-22 1 1 1082,84 1082,84 1082,84 1082,84 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-23 1 1 1088,65 1088,65 1088,65 1088,65 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-27 1 1 1094,88 1094,88 1094,88 1094,88 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-28 1 1 1096,27 1096,27 1096,27 1096,27 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-29 1 1 1102,56 1102,56 1102,56 1102,56 694539 Carlson Fonder Aktiebolag Carlson Småbolagsfond SEK 2005-12-30 1 1 1102,54 1102,54 1102,54 1102,54 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-03 1 1 70,65 70,65 70,65 70,65 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-04 1 1 70,93 70,93 70,93 70,93 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-05 1 1 70,37 70,37 70,37 70,37 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-07 1 1 70,49 70,49 70,49 70,49 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-10 1 1 71,28 71,28 71,28 71,28 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-11 1 1 70,87 70,87 70,87 70,87 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-12 1 1 69,7 69,7 69,7 69,7 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-13 1 1 69,67 69,67 69,67 69,67 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-14 1 1 70,09 70,09 70,09 70,09 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-17 1 1 70,7 70,7 70,7 70,7 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-18 1 1 70,15 70,15 70,15 70,15 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-19 1 1 70,63 70,63 70,63 70,63 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-20 1 1 69,87 69,87 69,87 69,87 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-21 1 1 69,69 69,69 69,69 69,69 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-24 1 1 68,98 68,98 68,98 68,98 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-25 1 1 69,75 69,75 69,75 69,75 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-26 1 1 69,87 69,87 69,87 69,87 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-27 1 1 70,32 70,32 70,32 70,32 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-28 1 1 70,16 70,16 70,16 70,16 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-01-31 1 1 70,64 70,64 70,64 70,64 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-01 1 1 70,78 70,78 70,78 70,78 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-02 1 1 71,33 71,33 71,33 71,33 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-03 1 1 71,38 71,38 71,38 71,38 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-04 1 1 72,14 72,14 72,14 72,14 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-07 1 1 72,77 72,77 72,77 72,77 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-08 1 1 73,02 73,02 73,02 73,02 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-09 1 1 73,28 73,28 73,28 73,28 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-10 1 1 72,62 72,62 72,62 72,62 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-11 1 1 73,03 73,03 73,03 73,03 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-14 1 1 73,46 73,46 73,46 73,46 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-15 1 1 73,42 73,42 73,42 73,42 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-16 1 1 73 73 73 73 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-17 1 1 73,64 73,64 73,64 73,64 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-18 1 1 72,98 72,98 72,98 72,98 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-21 1 1 73,37 73,37 73,37 73,37 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-22 1 1 72,57 72,57 72,57 72,57 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-23 1 1 72,98 72,98 72,98 72,98 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-24 1 1 73,29 73,29 73,29 73,29 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-25 1 1 73,76 73,76 73,76 73,76 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-02-28 1 1 74,04 74,04 74,04 74,04 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-01 1 1 73,97 73,97 73,97 73,97 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-02 1 1 74,04 74,04 74,04 74,04 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-03 1 1 74,81 74,81 74,81 74,81 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-04 1 1 75,04 75,04 75,04 75,04 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-07 1 1 75,17 75,17 75,17 75,17 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-08 1 1 74,68 74,68 74,68 74,68 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-09 1 1 74,38 74,38 74,38 74,38 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-10 1 1 73,96 73,96 73,96 73,96 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-11 1 1 74,29 74,29 74,29 74,29 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-14 1 1 74,26 74,26 74,26 74,26 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-15 1 1 74,8 74,8 74,8 74,8 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-16 1 1 74,03 74,03 74,03 74,03 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-17 1 1 73,73 73,73 73,73 73,73 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-18 1 1 73,89 73,89 73,89 73,89 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-21 1 1 73,64 73,64 73,64 73,64 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-22 1 1 73,94 73,94 73,94 73,94 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-23 1 1 73,52 73,52 73,52 73,52 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-24 1 1 74,16 74,16 74,16 74,16 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-29 1 1 74,07 74,07 74,07 74,07 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-30 1 1 73,53 73,53 73,53 73,53 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-03-31 1 1 73,97 73,97 73,97 73,97 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-01 1 1 74,24 74,24 74,24 74,24 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-04 1 1 74,22 74,22 74,22 74,22 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-05 1 1 74,95 74,95 74,95 74,95 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-06 1 1 75,55 75,55 75,55 75,55 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-07 1 1 75,63 75,63 75,63 75,63 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-08 1 1 76,08 76,08 76,08 76,08 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-11 1 1 76,35 76,35 76,35 76,35 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-12 1 1 76,09 76,09 76,09 76,09 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-13 1 1 76,64 76,64 76,64 76,64 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-14 1 1 77,14 77,14 77,14 77,14 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-15 1 1 76,11 76,11 76,11 76,11 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-18 1 1 74,67 74,67 74,67 74,67 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-19 1 1 75,17 75,17 75,17 75,17 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-20 1 1 75,25 75,25 75,25 75,25 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-21 1 1 75,21 75,21 75,21 75,21 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-22 1 1 75,94 75,94 75,94 75,94 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-25 1 1 75,8 75,8 75,8 75,8 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-26 1 1 75,23 75,23 75,23 75,23 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-27 1 1 73,92 73,92 73,92 73,92 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-28 1 1 72,95 72,95 72,95 72,95 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-04-29 1 1 73,56 73,56 73,56 73,56 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-02 1 1 74,07 74,07 74,07 74,07 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-03 1 1 74,03 74,03 74,03 74,03 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-04 1 1 74,16 74,16 74,16 74,16 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-06 1 1 75,05 75,05 75,05 75,05 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-09 1 1 75,2 75,2 75,2 75,2 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-10 1 1 74,63 74,63 74,63 74,63 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-11 1 1 74,66 74,66 74,66 74,66 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-12 1 1 75,11 75,11 75,11 75,11 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-13 1 1 75,59 75,59 75,59 75,59 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-16 1 1 75,71 75,71 75,71 75,71 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-17 1 1 76,07 76,07 76,07 76,07 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-18 1 1 76,66 76,66 76,66 76,66 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-19 1 1 76,91 76,91 76,91 76,91 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-20 1 1 76,83 76,83 76,83 76,83 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-23 1 1 76,76 76,76 76,76 76,76 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-24 1 1 77 77 77 77 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-25 1 1 77,26 77,26 77,26 77,26 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-26 1 1 77,64 77,64 77,64 77,64 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-27 1 1 77,78 77,78 77,78 77,78 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-30 1 1 77,84 77,84 77,84 77,84 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-05-31 1 1 78,1 78,1 78,1 78,1 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-01 1 1 77,99 77,99 77,99 77,99 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-02 1 1 77,72 77,72 77,72 77,72 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-03 1 1 77,5 77,5 77,5 77,5 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-07 1 1 77,63 77,63 77,63 77,63 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-08 1 1 78,3 78,3 78,3 78,3 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-09 1 1 78,22 78,22 78,22 78,22 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-10 1 1 78,7 78,7 78,7 78,7 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-13 1 1 76,46 76,46 76,46 76,46 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-14 1 1 76,85 76,85 76,85 76,85 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-15 1 1 77,04 77,04 77,04 77,04 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-16 1 1 76,95 76,95 76,95 76,95 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-17 1 1 77,42 77,42 77,42 77,42 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-20 1 1 77,2 77,2 77,2 77,2 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-21 1 1 77,83 77,83 77,83 77,83 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-22 1 1 78,16 78,16 78,16 78,16 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-23 1 1 78,38 78,38 78,38 78,38 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-27 1 1 77,01 77,01 77,01 77,01 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-28 1 1 77,32 77,32 77,32 77,32 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-29 1 1 78,08 78,08 78,08 78,08 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-06-30 1 1 78,38 78,38 78,38 78,38 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-01 1 1 78,57 78,57 78,57 78,57 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-04 1 1 79,1 79,1 79,1 79,1 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-05 1 1 78,99 78,99 78,99 78,99 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-06 1 1 79,28 79,28 79,28 79,28 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-07 1 1 77,52 77,52 77,52 77,52 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-08 1 1 78,91 78,91 78,91 78,91 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-11 1 1 80,07 80,07 80,07 80,07 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-12 1 1 80,41 80,41 80,41 80,41 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-13 1 1 80,96 80,96 80,96 80,96 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-14 1 1 81,18 81,18 81,18 81,18 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-15 1 1 81 81 81 81 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-18 1 1 80,95 80,95 80,95 80,95 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-19 1 1 80,92 80,92 80,92 80,92 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-20 1 1 80,56 80,56 80,56 80,56 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-21 1 1 81,33 81,33 81,33 81,33 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-22 1 1 81,74 81,74 81,74 81,74 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-25 1 1 81,35 81,35 81,35 81,35 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-26 1 1 81,72 81,72 81,72 81,72 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-27 1 1 81,93 81,93 81,93 81,93 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-28 1 1 82,55 82,55 82,55 82,55 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-07-29 1 1 82,42 82,42 82,42 82,42 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-01 1 1 82,4 82,4 82,4 82,4 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-02 1 1 82,79 82,79 82,79 82,79 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-03 1 1 82,84 82,84 82,84 82,84 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-04 1 1 82,62 82,62 82,62 82,62 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-05 1 1 82,46 82,46 82,46 82,46 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-08 1 1 82,32 82,32 82,32 82,32 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-09 1 1 82,46 82,46 82,46 82,46 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-10 1 1 83,39 83,39 83,39 83,39 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-11 1 1 83 83 83 83 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-12 1 1 82,98 82,98 82,98 82,98 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-15 1 1 82,79 82,79 82,79 82,79 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-16 1 1 82,97 82,97 82,97 82,97 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-17 1 1 82,37 82,37 82,37 82,37 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-18 1 1 82,49 82,49 82,49 82,49 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-19 1 1 83,13 83,13 83,13 83,13 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-22 1 1 83,09 83,09 83,09 83,09 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-23 1 1 82,56 82,56 82,56 82,56 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-24 1 1 81,13 81,13 81,13 81,13 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-25 1 1 80,66 80,66 80,66 80,66 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-26 1 1 80,06 80,06 80,06 80,06 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-29 1 1 80,16 80,16 80,16 80,16 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-30 1 1 80,59 80,59 80,59 80,59 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-08-31 1 1 81,31 81,31 81,31 81,31 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-01 1 1 81,74 81,74 81,74 81,74 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-02 1 1 81,53 81,53 81,53 81,53 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-05 1 1 82,17 82,17 82,17 82,17 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-06 1 1 82,58 82,58 82,58 82,58 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-07 1 1 83,02 83,02 83,02 83,02 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-08 1 1 82,7 82,7 82,7 82,7 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-09 1 1 83,27 83,27 83,27 83,27 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-12 1 1 83,46 83,46 83,46 83,46 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-13 1 1 83,33 83,33 83,33 83,33 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-14 1 1 83,64 83,64 83,64 83,64 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-15 1 1 83,21 83,21 83,21 83,21 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-16 1 1 83,42 83,42 83,42 83,42 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-19 1 1 83,69 83,69 83,69 83,69 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-20 1 1 83,41 83,41 83,41 83,41 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-21 1 1 82,78 82,78 82,78 82,78 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-22 1 1 82,54 82,54 82,54 82,54 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-23 1 1 82,91 82,91 82,91 82,91 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-26 1 1 83,83 83,83 83,83 83,83 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-27 1 1 84,23 84,23 84,23 84,23 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-28 1 1 84,67 84,67 84,67 84,67 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-29 1 1 84,86 84,86 84,86 84,86 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-09-30 1 1 85,48 85,48 85,48 85,48 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-03 1 1 86,02 86,02 86,02 86,02 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-04 1 1 86,2 86,2 86,2 86,2 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-05 1 1 85,52 85,52 85,52 85,52 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-06 1 1 84,64 84,64 84,64 84,64 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-07 1 1 84,65 84,65 84,65 84,65 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-10 1 1 85,06 85,06 85,06 85,06 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-11 1 1 85,21 85,21 85,21 85,21 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-12 1 1 84,59 84,59 84,59 84,59 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-13 1 1 83,38 83,38 83,38 83,38 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-14 1 1 83,41 83,41 83,41 83,41 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-17 1 1 83,36 83,36 83,36 83,36 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-18 1 1 82,99 82,99 82,99 82,99 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-19 1 1 81,79 81,79 81,79 81,79 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-20 1 1 82,41 82,41 82,41 82,41 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-21 1 1 81,37 81,37 81,37 81,37 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-24 1 1 82,25 82,25 82,25 82,25 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-25 1 1 83,02 83,02 83,02 83,02 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-26 1 1 83,36 83,36 83,36 83,36 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-27 1 1 82,81 82,81 82,81 82,81 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-28 1 1 82,22 82,22 82,22 82,22 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-10-31 1 1 84,11 84,11 84,11 84,11 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-01 1 1 84,31 84,31 84,31 84,31 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-02 1 1 84,44 84,44 84,44 84,44 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-03 1 1 85,51 85,51 85,51 85,51 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-04 1 1 85,4 85,4 85,4 85,4 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-07 1 1 85,95 85,95 85,95 85,95 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-08 1 1 85,68 85,68 85,68 85,68 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-09 1 1 85,62 85,62 85,62 85,62 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-10 1 1 85,94 85,94 85,94 85,94 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-11 1 1 86,51 86,51 86,51 86,51 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-14 1 1 86,96 86,96 86,96 86,96 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-15 1 1 86,55 86,55 86,55 86,55 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-16 1 1 86,74 86,74 86,74 86,74 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-17 1 1 86,99 86,99 86,99 86,99 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-18 1 1 87,43 87,43 87,43 87,43 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-21 1 1 87,45 87,45 87,45 87,45 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-22 1 1 87,73 87,73 87,73 87,73 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-23 1 1 87,73 87,73 87,73 87,73 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-24 1 1 87,48 87,48 87,48 87,48 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-25 1 1 87,79 87,79 87,79 87,79 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-28 1 1 88,16 88,16 88,16 88,16 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-29 1 1 88,02 88,02 88,02 88,02 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-11-30 1 1 87,35 87,35 87,35 87,35 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-01 1 1 88,19 88,19 88,19 88,19 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-02 1 1 89,08 89,08 89,08 89,08 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-05 1 1 89,05 89,05 89,05 89,05 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-06 1 1 89,36 89,36 89,36 89,36 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-07 1 1 89,38 89,38 89,38 89,38 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-08 1 1 89,65 89,65 89,65 89,65 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-12 1 1 90,19 90,19 90,19 90,19 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-13 1 1 89,96 89,96 89,96 89,96 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-14 1 1 89,65 89,65 89,65 89,65 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-15 1 1 89,62 89,62 89,62 89,62 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-16 1 1 89,81 89,81 89,81 89,81 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-19 1 1 90,27 90,27 90,27 90,27 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-20 1 1 90,17 90,17 90,17 90,17 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-21 1 1 90,84 90,84 90,84 90,84 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-22 1 1 91,01 91,01 91,01 91,01 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-23 1 1 91,81 91,81 91,81 91,81 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-27 1 1 92,37 92,37 92,37 92,37 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-28 1 1 92,25 92,25 92,25 92,25 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-29 1 1 92,69 92,69 92,69 92,69 730366 Carlson Fonder Aktiebolag Carlson Sverigefond SEK 2005-12-30 1 1 92,49 92,49 92,49 92,49 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-03 1 1 132,52 132,52 132,52 132,52 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-04 1 1 133,07 133,07 133,07 133,07 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-05 1 1 132,57 132,57 132,57 132,57 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-07 1 1 132,73 132,73 132,73 132,73 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-10 1 1 133,6 133,6 133,6 133,6 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-11 1 1 132,75 132,75 132,75 132,75 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-12 1 1 132,02 132,02 132,02 132,02 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-13 1 1 132,09 132,09 132,09 132,09 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-14 1 1 132,81 132,81 132,81 132,81 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-17 1 1 133,55 133,55 133,55 133,55 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-18 1 1 133,37 133,37 133,37 133,37 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-19 1 1 134,13 134,13 134,13 134,13 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-20 1 1 133,37 133,37 133,37 133,37 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-21 1 1 133,74 133,74 133,74 133,74 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-24 1 1 132,91 132,91 132,91 132,91 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-25 1 1 133,39 133,39 133,39 133,39 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-26 1 1 133,72 133,72 133,72 133,72 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-27 1 1 133,34 133,34 133,34 133,34 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-28 1 1 133,89 133,89 133,89 133,89 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-01-31 1 1 134,64 134,64 134,64 134,64 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-01 1 1 134,49 134,49 134,49 134,49 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-02 1 1 134,78 134,78 134,78 134,78 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-03 1 1 135,34 135,34 135,34 135,34 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-04 1 1 135,74 135,74 135,74 135,74 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-07 1 1 137,21 137,21 137,21 137,21 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-08 1 1 137,62 137,62 137,62 137,62 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-09 1 1 137,16 137,16 137,16 137,16 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-10 1 1 136,6 136,6 136,6 136,6 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-11 1 1 136,96 136,96 136,96 136,96 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-14 1 1 137,1 137,1 137,1 137,1 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-15 1 1 136,79 136,79 136,79 136,79 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-16 1 1 136,41 136,41 136,41 136,41 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-17 1 1 137,48 137,48 137,48 137,48 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-18 1 1 136,68 136,68 136,68 136,68 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-21 1 1 136,91 136,91 136,91 136,91 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-22 1 1 134,96 134,96 134,96 134,96 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-23 1 1 134,19 134,19 134,19 134,19 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-24 1 1 133,56 133,56 133,56 133,56 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-25 1 1 134,74 134,74 134,74 134,74 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-02-28 1 1 135,28 135,28 135,28 135,28 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-01 1 1 135,49 135,49 135,49 135,49 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-02 1 1 136,19 136,19 136,19 136,19 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-03 1 1 136,38 136,38 136,38 136,38 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-04 1 1 135,96 135,96 135,96 135,96 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-07 1 1 136,48 136,48 136,48 136,48 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-08 1 1 135,89 135,89 135,89 135,89 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-09 1 1 135,47 135,47 135,47 135,47 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-10 1 1 134,51 134,51 134,51 134,51 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-11 1 1 134,27 134,27 134,27 134,27 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-14 1 1 134,36 134,36 134,36 134,36 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-15 1 1 135,98 135,98 135,98 135,98 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-16 1 1 134,2 134,2 134,2 134,2 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-17 1 1 134,07 134,07 134,07 134,07 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-18 1 1 135,38 135,38 135,38 135,38 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-21 1 1 136 136 136 136 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-22 1 1 135,84 135,84 135,84 135,84 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-23 1 1 135,14 135,14 135,14 135,14 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-24 1 1 135,39 135,39 135,39 135,39 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-29 1 1 135,99 135,99 135,99 135,99 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-30 1 1 135,24 135,24 135,24 135,24 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-03-31 1 1 136,78 136,78 136,78 136,78 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-01 1 1 137,06 137,06 137,06 137,06 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-04 1 1 137,32 137,32 137,32 137,32 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-05 1 1 138,39 138,39 138,39 138,39 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-06 1 1 138,25 138,25 138,25 138,25 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-07 1 1 138,28 138,28 138,28 138,28 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-08 1 1 139,73 139,73 139,73 139,73 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-11 1 1 138,16 138,16 138,16 138,16 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-12 1 1 137,53 137,53 137,53 137,53 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-13 1 1 138,42 138,42 138,42 138,42 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-14 1 1 138,45 138,45 138,45 138,45 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-15 1 1 136,42 136,42 136,42 136,42 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-18 1 1 133,23 133,23 133,23 133,23 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-19 1 1 134,59 134,59 134,59 134,59 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-20 1 1 134,15 134,15 134,15 134,15 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-21 1 1 133,64 133,64 133,64 133,64 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-22 1 1 133,9 133,9 133,9 133,9 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-25 1 1 134,45 134,45 134,45 134,45 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-26 1 1 134 134 134 134 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-27 1 1 132,64 132,64 132,64 132,64 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-28 1 1 133,18 133,18 133,18 133,18 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-04-29 1 1 133,68 133,68 133,68 133,68 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-02 1 1 135,29 135,29 135,29 135,29 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-03 1 1 135,49 135,49 135,49 135,49 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-04 1 1 134,5 134,5 134,5 134,5 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-06 1 1 136,97 136,97 136,97 136,97 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-09 1 1 136,74 136,74 136,74 136,74 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-10 1 1 136,27 136,27 136,27 136,27 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-11 1 1 136,59 136,59 136,59 136,59 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-12 1 1 137,53 137,53 137,53 137,53 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-13 1 1 136,78 136,78 136,78 136,78 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-16 1 1 136,57 136,57 136,57 136,57 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-17 1 1 136,91 136,91 136,91 136,91 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-18 1 1 138,28 138,28 138,28 138,28 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-19 1 1 139,23 139,23 139,23 139,23 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-20 1 1 139,34 139,34 139,34 139,34 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-23 1 1 139,5 139,5 139,5 139,5 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-24 1 1 139,4 139,4 139,4 139,4 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-25 1 1 139,22 139,22 139,22 139,22 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-26 1 1 140,01 140,01 140,01 140,01 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-27 1 1 140,35 140,35 140,35 140,35 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-30 1 1 141,17 141,17 141,17 141,17 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-05-31 1 1 141,97 141,97 141,97 141,97 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-01 1 1 142,58 142,58 142,58 142,58 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-02 1 1 143,48 143,48 143,48 143,48 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-03 1 1 143,14 143,14 143,14 143,14 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-07 1 1 143,31 143,31 143,31 143,31 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-08 1 1 143,97 143,97 143,97 143,97 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-09 1 1 144 144 144 144 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-10 1 1 145,55 145,55 145,55 145,55 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-13 1 1 143,28 143,28 143,28 143,28 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-14 1 1 143,92 143,92 143,92 143,92 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-15 1 1 143,91 143,91 143,91 143,91 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-16 1 1 144,5 144,5 144,5 144,5 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-17 1 1 144,38 144,38 144,38 144,38 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-20 1 1 143,89 143,89 143,89 143,89 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-21 1 1 145,26 145,26 145,26 145,26 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-22 1 1 146,56 146,56 146,56 146,56 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-23 1 1 148,29 148,29 148,29 148,29 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-27 1 1 145,31 145,31 145,31 145,31 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-28 1 1 146,27 146,27 146,27 146,27 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-29 1 1 148,23 148,23 148,23 148,23 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-06-30 1 1 147,91 147,91 147,91 147,91 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-01 1 1 148,2 148,2 148,2 148,2 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-04 1 1 149,59 149,59 149,59 149,59 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-05 1 1 148,6 148,6 148,6 148,6 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-06 1 1 148,71 148,71 148,71 148,71 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-07 1 1 147,27 147,27 147,27 147,27 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-08 1 1 149,1 149,1 149,1 149,1 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-11 1 1 150,91 150,91 150,91 150,91 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-12 1 1 149,84 149,84 149,84 149,84 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-13 1 1 149,6 149,6 149,6 149,6 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-14 1 1 151,05 151,05 151,05 151,05 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-15 1 1 150,89 150,89 150,89 150,89 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-18 1 1 150,29 150,29 150,29 150,29 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-19 1 1 151,89 151,89 151,89 151,89 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-20 1 1 151,44 151,44 151,44 151,44 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-21 1 1 152,32 152,32 152,32 152,32 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-22 1 1 151,49 151,49 151,49 151,49 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-25 1 1 151,99 151,99 151,99 151,99 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-26 1 1 153,12 153,12 153,12 153,12 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-27 1 1 153,25 153,25 153,25 153,25 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-28 1 1 152,99 152,99 152,99 152,99 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-07-29 1 1 153,33 153,33 153,33 153,33 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-01 1 1 152,2 152,2 152,2 152,2 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-02 1 1 152,4 152,4 152,4 152,4 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-03 1 1 152,5 152,5 152,5 152,5 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-04 1 1 151,12 151,12 151,12 151,12 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-05 1 1 150,24 150,24 150,24 150,24 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-08 1 1 150,55 150,55 150,55 150,55 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-09 1 1 151,27 151,27 151,27 151,27 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-10 1 1 152,67 152,67 152,67 152,67 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-11 1 1 151,82 151,82 151,82 151,82 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-12 1 1 152,02 152,02 152,02 152,02 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-15 1 1 152,3 152,3 152,3 152,3 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-16 1 1 153,25 153,25 153,25 153,25 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-17 1 1 151,91 151,91 151,91 151,91 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-18 1 1 152,39 152,39 152,39 152,39 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-19 1 1 153,58 153,58 153,58 153,58 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-22 1 1 154,6 154,6 154,6 154,6 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-23 1 1 153,3 153,3 153,3 153,3 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-24 1 1 151,91 151,91 151,91 151,91 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-25 1 1 151,25 151,25 151,25 151,25 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-26 1 1 150,71 150,71 150,71 150,71 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-29 1 1 149,94 149,94 149,94 149,94 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-30 1 1 151,19 151,19 151,19 151,19 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-08-31 1 1 151,3 151,3 151,3 151,3 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-01 1 1 151,61 151,61 151,61 151,61 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-02 1 1 150,01 150,01 150,01 150,01 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-05 1 1 150,54 150,54 150,54 150,54 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-06 1 1 151,31 151,31 151,31 151,31 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-07 1 1 152,86 152,86 152,86 152,86 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-08 1 1 153,07 153,07 153,07 153,07 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-09 1 1 153,79 153,79 153,79 153,79 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-12 1 1 154,94 154,94 154,94 154,94 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-13 1 1 155,2 155,2 155,2 155,2 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-14 1 1 155,27 155,27 155,27 155,27 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-15 1 1 155,77 155,77 155,77 155,77 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-16 1 1 156,05 156,05 156,05 156,05 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-19 1 1 156,92 156,92 156,92 156,92 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-20 1 1 156,84 156,84 156,84 156,84 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-21 1 1 155,08 155,08 155,08 155,08 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-22 1 1 155 155 155 155 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-23 1 1 155,78 155,78 155,78 155,78 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-26 1 1 157,74 157,74 157,74 157,74 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-27 1 1 158,3 158,3 158,3 158,3 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-28 1 1 159,07 159,07 159,07 159,07 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-29 1 1 158,78 158,78 158,78 158,78 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-09-30 1 1 158,74 158,74 158,74 158,74 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-03 1 1 159,99 159,99 159,99 159,99 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-04 1 1 160,31 160,31 160,31 160,31 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-05 1 1 158,5 158,5 158,5 158,5 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-06 1 1 154,09 154,09 154,09 154,09 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-07 1 1 154,71 154,71 154,71 154,71 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-10 1 1 155,25 155,25 155,25 155,25 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-11 1 1 155,45 155,45 155,45 155,45 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-12 1 1 154,71 154,71 154,71 154,71 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-13 1 1 154,4 154,4 154,4 154,4 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-14 1 1 154,68 154,68 154,68 154,68 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-17 1 1 155,7 155,7 155,7 155,7 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-18 1 1 155,88 155,88 155,88 155,88 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-19 1 1 153,92 153,92 153,92 153,92 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-20 1 1 156,03 156,03 156,03 156,03 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-21 1 1 154,45 154,45 154,45 154,45 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-24 1 1 156,77 156,77 156,77 156,77 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-25 1 1 156,32 156,32 156,32 156,32 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-26 1 1 156,14 156,14 156,14 156,14 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-27 1 1 154,9 154,9 154,9 154,9 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-28 1 1 154,57 154,57 154,57 154,57 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-10-31 1 1 158,77 158,77 158,77 158,77 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-01 1 1 159,91 159,91 159,91 159,91 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-02 1 1 160,25 160,25 160,25 160,25 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-03 1 1 163,02 163,02 163,02 163,02 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-04 1 1 163,09 163,09 163,09 163,09 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-07 1 1 164,77 164,77 164,77 164,77 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-08 1 1 163,79 163,79 163,79 163,79 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-09 1 1 164,56 164,56 164,56 164,56 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-10 1 1 165,51 165,51 165,51 165,51 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-11 1 1 166,05 166,05 166,05 166,05 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-14 1 1 166,08 166,08 166,08 166,08 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-15 1 1 166,52 166,52 166,52 166,52 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-16 1 1 166,46 166,46 166,46 166,46 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-17 1 1 167,4 167,4 167,4 167,4 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-18 1 1 167,64 167,64 167,64 167,64 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-21 1 1 166,54 166,54 166,54 166,54 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-22 1 1 168,19 168,19 168,19 168,19 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-23 1 1 167,39 167,39 167,39 167,39 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-24 1 1 167,65 167,65 167,65 167,65 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-25 1 1 167,61 167,61 167,61 167,61 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-28 1 1 167,48 167,48 167,48 167,48 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-29 1 1 167,37 167,37 167,37 167,37 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-11-30 1 1 167,15 167,15 167,15 167,15 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-01 1 1 168,34 168,34 168,34 168,34 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-02 1 1 168,88 168,88 168,88 168,88 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-05 1 1 168,26 168,26 168,26 168,26 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-06 1 1 167,45 167,45 167,45 167,45 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-07 1 1 168,2 168,2 168,2 168,2 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-08 1 1 167,3 167,3 167,3 167,3 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-12 1 1 167,21 167,21 167,21 167,21 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-13 1 1 167,26 167,26 167,26 167,26 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-14 1 1 166,77 166,77 166,77 166,77 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-15 1 1 166,73 166,73 166,73 166,73 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-16 1 1 167,45 167,45 167,45 167,45 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-19 1 1 166,74 166,74 166,74 166,74 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-20 1 1 166,71 166,71 166,71 166,71 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-21 1 1 168,94 168,94 168,94 168,94 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-22 1 1 169,45 169,45 169,45 169,45 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-23 1 1 169,67 169,67 169,67 169,67 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-27 1 1 170,13 170,13 170,13 170,13 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-28 1 1 167,57 167,57 167,57 167,57 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-29 1 1 168,65 168,65 168,65 168,65 936781 Carlson Fonder Aktiebolag Carlson Utlandsfond SEK 2005-12-30 1 1 167,49 167,49 167,49 167,49 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-06 1 1 290,38 290,38 290,38 290,38 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-09 1 1 291,98 291,98 291,98 291,98 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-10 1 1 288,05 288,05 288,05 288,05 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-11 1 1 284,99 284,99 284,99 284,99 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-12 1 1 284,6 284,6 284,6 284,6 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-13 1 1 282,32 282,32 282,32 282,32 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-17 1 1 279,61 279,61 279,61 279,61 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-18 1 1 286,8 286,8 286,8 286,8 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-19 1 1 289,59 289,59 289,59 289,59 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-20 1 1 292,19 292,19 292,19 292,19 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-23 1 1 288,65 288,65 288,65 288,65 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-24 1 1 289,11 289,11 289,11 289,11 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-25 1 1 287,58 287,58 287,58 287,58 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-26 1 1 289,03 289,03 289,03 289,03 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-27 1 1 293,61 293,61 293,61 293,61 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-30 1 1 294,62 294,62 294,62 294,62 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-05-31 1 1 298,24 298,24 298,24 298,24 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-01 1 1 298,77 298,77 298,77 298,77 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-02 1 1 303,09 303,09 303,09 303,09 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-03 1 1 305,69 305,69 305,69 305,69 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-07 1 1 307,7 307,7 307,7 307,7 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-08 1 1 307,2 307,2 307,2 307,2 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-09 1 1 308,03 308,03 308,03 308,03 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-10 1 1 313 313 313 313 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-13 1 1 317,23 317,23 317,23 317,23 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-14 1 1 319,35 319,35 319,35 319,35 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-15 1 1 320,25 320,25 320,25 320,25 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-16 1 1 324,41 324,41 324,41 324,41 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-17 1 1 321,91 321,91 321,91 321,91 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-20 1 1 324,03 324,03 324,03 324,03 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-21 1 1 325,22 325,22 325,22 325,22 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-22 1 1 329,07 329,07 329,07 329,07 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-27 1 1 327,77 327,77 327,77 327,77 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-28 1 1 329,4 329,4 329,4 329,4 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-29 1 1 332,4 332,4 332,4 332,4 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-06-30 1 1 334,23 334,23 334,23 334,23 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-01 1 1 338,76 338,76 338,76 338,76 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-04 1 1 343,47 343,47 343,47 343,47 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-05 1 1 341,58 341,58 341,58 341,58 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-06 1 1 342,19 342,19 342,19 342,19 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-07 1 1 340,99 340,99 340,99 340,99 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-08 1 1 345,28 345,28 345,28 345,28 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-11 1 1 345,54 345,54 345,54 345,54 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-12 1 1 344,19 344,19 344,19 344,19 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-13 1 1 344,87 344,87 344,87 344,87 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-14 1 1 346,81 346,81 346,81 346,81 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-15 1 1 347,22 347,22 347,22 347,22 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-18 1 1 344,4 344,4 344,4 344,4 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-19 1 1 348,06 348,06 348,06 348,06 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-20 1 1 349,19 349,19 349,19 349,19 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-21 1 1 349,05 349,05 349,05 349,05 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-22 1 1 349,36 349,36 349,36 349,36 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-25 1 1 351,53 351,53 351,53 351,53 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-26 1 1 352,52 352,52 352,52 352,52 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-27 1 1 356,09 356,09 356,09 356,09 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-28 1 1 357,25 357,25 357,25 357,25 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-07-29 1 1 358,78 358,78 358,78 358,78 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-01 1 1 362,86 362,86 362,86 362,86 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-02 1 1 363,76 363,76 363,76 363,76 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-03 1 1 361,72 361,72 361,72 361,72 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-04 1 1 362,66 362,66 362,66 362,66 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-05 1 1 363,04 363,04 363,04 363,04 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-08 1 1 367,26 367,26 367,26 367,26 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-09 1 1 368,59 368,59 368,59 368,59 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-10 1 1 366,79 366,79 366,79 366,79 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-11 1 1 363,14 363,14 363,14 363,14 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-12 1 1 358,4 358,4 358,4 358,4 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-16 1 1 365,14 365,14 365,14 365,14 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-17 1 1 365,6 365,6 365,6 365,6 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-18 1 1 364,02 364,02 364,02 364,02 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-19 1 1 367,72 367,72 367,72 367,72 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-22 1 1 369,64 369,64 369,64 369,64 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-23 1 1 372,38 372,38 372,38 372,38 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-24 1 1 373,74 373,74 373,74 373,74 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-25 1 1 376,32 376,32 376,32 376,32 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-26 1 1 377,76 377,76 377,76 377,76 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-29 1 1 379,23 379,23 379,23 379,23 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-30 1 1 384,03 384,03 384,03 384,03 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-08-31 1 1 389,2 389,2 389,2 389,2 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-01 1 1 392,84 392,84 392,84 392,84 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-02 1 1 397,56 397,56 397,56 397,56 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-05 1 1 395,74 395,74 395,74 395,74 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-06 1 1 389,8 389,8 389,8 389,8 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-07 1 1 389,38 389,38 389,38 389,38 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-08 1 1 391,44 391,44 391,44 391,44 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-09 1 1 397,6 397,6 397,6 397,6 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-12 1 1 401,77 401,77 401,77 401,77 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-13 1 1 401,32 401,32 401,32 401,32 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-14 1 1 398,44 398,44 398,44 398,44 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-15 1 1 406,38 406,38 406,38 406,38 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-16 1 1 413,68 413,68 413,68 413,68 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-19 1 1 417,32 417,32 417,32 417,32 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-20 1 1 417,71 417,71 417,71 417,71 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-21 1 1 418,44 418,44 418,44 418,44 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-22 1 1 422,04 422,04 422,04 422,04 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-23 1 1 419,58 419,58 419,58 419,58 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-26 1 1 422,65 422,65 422,65 422,65 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-27 1 1 432,02 432,02 432,02 432,02 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-28 1 1 431,56 431,56 431,56 431,56 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-29 1 1 429,61 429,61 429,61 429,61 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-09-30 1 1 427,13 427,13 427,13 427,13 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-03 1 1 432,85 432,85 432,85 432,85 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-04 1 1 434,83 434,83 434,83 434,83 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-05 1 1 426,99 426,99 426,99 426,99 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-06 1 1 405,43 405,43 405,43 405,43 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-07 1 1 405,34 405,34 405,34 405,34 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-10 1 1 410,28 410,28 410,28 410,28 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-11 1 1 416,6 416,6 416,6 416,6 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-12 1 1 411,46 411,46 411,46 411,46 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-13 1 1 399,56 399,56 399,56 399,56 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-14 1 1 392,96 392,96 392,96 392,96 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-17 1 1 396,41 396,41 396,41 396,41 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-18 1 1 397,61 397,61 397,61 397,61 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-19 1 1 380,94 380,94 380,94 380,94 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-20 1 1 385,37 385,37 385,37 385,37 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-21 1 1 381,43 381,43 381,43 381,43 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-24 1 1 391,08 391,08 391,08 391,08 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-25 1 1 388,99 388,99 388,99 388,99 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-26 1 1 388,54 388,54 388,54 388,54 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-27 1 1 385,57 385,57 385,57 385,57 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-28 1 1 384,49 384,49 384,49 384,49 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-10-31 1 1 393,41 393,41 393,41 393,41 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-02 1 1 406,05 406,05 406,05 406,05 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-03 1 1 412,1 412,1 412,1 412,1 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-04 1 1 413,4 413,4 413,4 413,4 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-07 1 1 416,15 416,15 416,15 416,15 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-08 1 1 412,71 412,71 412,71 412,71 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-09 1 1 415,24 415,24 415,24 415,24 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-10 1 1 415,91 415,91 415,91 415,91 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-11 1 1 408,4 408,4 408,4 408,4 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-14 1 1 408,01 408,01 408,01 408,01 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-15 1 1 410,84 410,84 410,84 410,84 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-16 1 1 413,29 413,29 413,29 413,29 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-17 1 1 417,61 417,61 417,61 417,61 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-18 1 1 416,3 416,3 416,3 416,3 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-21 1 1 417 417 417 417 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-22 1 1 417,2 417,2 417,2 417,2 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-23 1 1 417,83 417,83 417,83 417,83 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-24 1 1 421,18 421,18 421,18 421,18 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-25 1 1 424,86 424,86 424,86 424,86 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-28 1 1 428,64 428,64 428,64 428,64 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-29 1 1 425,03 425,03 425,03 425,03 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-11-30 1 1 427,5 427,5 427,5 427,5 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-01 1 1 430,59 430,59 430,59 430,59 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-02 1 1 434,39 434,39 434,39 434,39 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-05 1 1 437,1 437,1 437,1 437,1 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-06 1 1 430,94 430,94 430,94 430,94 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-07 1 1 434,4 434,4 434,4 434,4 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-08 1 1 433,39 433,39 433,39 433,39 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-12 1 1 435,65 435,65 435,65 435,65 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-13 1 1 439,12 439,12 439,12 439,12 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-14 1 1 437,53 437,53 437,53 437,53 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-15 1 1 437,07 437,07 437,07 437,07 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-16 1 1 438,16 438,16 438,16 438,16 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-19 1 1 438,23 438,23 438,23 438,23 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-20 1 1 440,13 440,13 440,13 440,13 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-21 1 1 445,58 445,58 445,58 445,58 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-22 1 1 447,54 447,54 447,54 447,54 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-23 1 1 448,33 448,33 448,33 448,33 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-27 1 1 450,8 450,8 450,8 450,8 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-28 1 1 447,48 447,48 447,48 447,48 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-29 1 1 448,14 448,14 448,14 448,14 851725 Carnegie Fund Management Company S A Carnegie Fund - East European Sub-Fund SEK 2005-12-30 1 1 449,79 449,79 449,79 449,79 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-03 1 1 120,82 120,82 120,82 120,82 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-04 1 1 121,66 121,66 121,66 121,66 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-05 1 1 121,23 121,23 121,23 121,23 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-07 1 1 121,75 121,75 121,75 121,75 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-10 1 1 122,27 122,27 122,27 122,27 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-11 1 1 121,83 121,83 121,83 121,83 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-12 1 1 121,96 121,96 121,96 121,96 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-13 1 1 121,78 121,78 121,78 121,78 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-14 1 1 122,92 122,92 122,92 122,92 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-17 1 1 124,24 124,24 124,24 124,24 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-18 1 1 123,75 123,75 123,75 123,75 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-19 1 1 124,01 124,01 124,01 124,01 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-20 1 1 123,43 123,43 123,43 123,43 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-21 1 1 124,05 124,05 124,05 124,05 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-24 1 1 124,15 124,15 124,15 124,15 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-25 1 1 125,56 125,56 125,56 125,56 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-26 1 1 126,59 126,59 126,59 126,59 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-27 1 1 127,11 127,11 127,11 127,11 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-28 1 1 127,15 127,15 127,15 127,15 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-01-31 1 1 127,91 127,91 127,91 127,91 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-01 1 1 128,75 128,75 128,75 128,75 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-02 1 1 128,8 128,8 128,8 128,8 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-03 1 1 128,67 128,67 128,67 128,67 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-04 1 1 129,93 129,93 129,93 129,93 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-07 1 1 131,73 131,73 131,73 131,73 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-08 1 1 132,12 132,12 132,12 132,12 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-09 1 1 131,46 131,46 131,46 131,46 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-10 1 1 131,76 131,76 131,76 131,76 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-11 1 1 132,66 132,66 132,66 132,66 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-14 1 1 132,94 132,94 132,94 132,94 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-15 1 1 133,45 133,45 133,45 133,45 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-16 1 1 133,32 133,32 133,32 133,32 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-17 1 1 134,07 134,07 134,07 134,07 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-18 1 1 134,01 134,01 134,01 134,01 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-21 1 1 133,85 133,85 133,85 133,85 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-22 1 1 132,73 132,73 132,73 132,73 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-23 1 1 132,2 132,2 132,2 132,2 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-24 1 1 132,1 132,1 132,1 132,1 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-25 1 1 134,03 134,03 134,03 134,03 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-02-28 1 1 134,97 134,97 134,97 134,97 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-01 1 1 135,26 135,26 135,26 135,26 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-02 1 1 134,43 134,43 134,43 134,43 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-03 1 1 134,17 134,17 134,17 134,17 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-04 1 1 134,85 134,85 134,85 134,85 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-07 1 1 135,59 135,59 135,59 135,59 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-08 1 1 134,99 134,99 134,99 134,99 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-09 1 1 134,44 134,44 134,44 134,44 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-10 1 1 133,44 133,44 133,44 133,44 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-11 1 1 133,56 133,56 133,56 133,56 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-14 1 1 132,86 132,86 132,86 132,86 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-15 1 1 133,03 133,03 133,03 133,03 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-16 1 1 129,62 129,62 129,62 129,62 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-17 1 1 129,8 129,8 129,8 129,8 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-18 1 1 131,11 131,11 131,11 131,11 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-21 1 1 130,35 130,35 130,35 130,35 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-22 1 1 130,12 130,12 130,12 130,12 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-23 1 1 128,36 128,36 128,36 128,36 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-24 1 1 128,81 128,81 128,81 128,81 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-29 1 1 129,18 129,18 129,18 129,18 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-30 1 1 129,04 129,04 129,04 129,04 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-03-31 1 1 130,72 130,72 130,72 130,72 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-01 1 1 132,3 132,3 132,3 132,3 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-04 1 1 132,09 132,09 132,09 132,09 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-05 1 1 132,91 132,91 132,91 132,91 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-06 1 1 133,34 133,34 133,34 133,34 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-07 1 1 133,53 133,53 133,53 133,53 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-08 1 1 133,8 133,8 133,8 133,8 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-11 1 1 133,14 133,14 133,14 133,14 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-12 1 1 133,17 133,17 133,17 133,17 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-13 1 1 133,67 133,67 133,67 133,67 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-14 1 1 133,46 133,46 133,46 133,46 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-15 1 1 131,6 131,6 131,6 131,6 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-18 1 1 129,01 129,01 129,01 129,01 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-19 1 1 129,53 129,53 129,53 129,53 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-20 1 1 129,31 129,31 129,31 129,31 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-21 1 1 129,56 129,56 129,56 129,56 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-22 1 1 130,06 130,06 130,06 130,06 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-25 1 1 130,38 130,38 130,38 130,38 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-26 1 1 129,73 129,73 129,73 129,73 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-27 1 1 127,88 127,88 127,88 127,88 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-28 1 1 127,32 127,32 127,32 127,32 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-04-29 1 1 127,83 127,83 127,83 127,83 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-02 1 1 128,84 128,84 128,84 128,84 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-03 1 1 129,22 129,22 129,22 129,22 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-04 1 1 128,81 128,81 128,81 128,81 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-06 1 1 130,07 130,07 130,07 130,07 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-09 1 1 130,11 130,11 130,11 130,11 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-10 1 1 131,1 131,1 131,1 131,1 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-11 1 1 131,2 131,2 131,2 131,2 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-12 1 1 131,15 131,15 131,15 131,15 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-13 1 1 130,81 130,81 130,81 130,81 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-17 1 1 130,49 130,49 130,49 130,49 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-18 1 1 132,19 132,19 132,19 132,19 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-19 1 1 133,64 133,64 133,64 133,64 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-20 1 1 133,39 133,39 133,39 133,39 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-23 1 1 133,04 133,04 133,04 133,04 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-24 1 1 133,28 133,28 133,28 133,28 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-25 1 1 133,6 133,6 133,6 133,6 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-26 1 1 134,56 134,56 134,56 134,56 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-27 1 1 134,87 134,87 134,87 134,87 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-30 1 1 135,36 135,36 135,36 135,36 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-05-31 1 1 135,53 135,53 135,53 135,53 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-01 1 1 136,09 136,09 136,09 136,09 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-02 1 1 137,52 137,52 137,52 137,52 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-03 1 1 137,61 137,61 137,61 137,61 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-07 1 1 138,66 138,66 138,66 138,66 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-08 1 1 139,4 139,4 139,4 139,4 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-09 1 1 139,48 139,48 139,48 139,48 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-10 1 1 141,21 141,21 141,21 141,21 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-13 1 1 142,01 142,01 142,01 142,01 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-14 1 1 142,6 142,6 142,6 142,6 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-15 1 1 141,92 141,92 141,92 141,92 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-16 1 1 142 142 142 142 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-17 1 1 141,99 141,99 141,99 141,99 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-20 1 1 141,76 141,76 141,76 141,76 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-21 1 1 142,62 142,62 142,62 142,62 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-22 1 1 143,57 143,57 143,57 143,57 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-27 1 1 143,39 143,39 143,39 143,39 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-28 1 1 144,56 144,56 144,56 144,56 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-29 1 1 145,67 145,67 145,67 145,67 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-06-30 1 1 146,09 146,09 146,09 146,09 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-01 1 1 147,11 147,11 147,11 147,11 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-04 1 1 148,05 148,05 148,05 148,05 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-05 1 1 146,77 146,77 146,77 146,77 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-06 1 1 147,14 147,14 147,14 147,14 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-07 1 1 145,61 145,61 145,61 145,61 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-08 1 1 147,4 147,4 147,4 147,4 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-11 1 1 147,74 147,74 147,74 147,74 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-12 1 1 147,24 147,24 147,24 147,24 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-13 1 1 147,2 147,2 147,2 147,2 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-14 1 1 148,09 148,09 148,09 148,09 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-15 1 1 147,43 147,43 147,43 147,43 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-18 1 1 146,66 146,66 146,66 146,66 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-19 1 1 147,25 147,25 147,25 147,25 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-20 1 1 147,91 147,91 147,91 147,91 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-21 1 1 148,3 148,3 148,3 148,3 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-22 1 1 147,95 147,95 147,95 147,95 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-25 1 1 148,68 148,68 148,68 148,68 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-26 1 1 149,75 149,75 149,75 149,75 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-27 1 1 150,55 150,55 150,55 150,55 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-28 1 1 150,9 150,9 150,9 150,9 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-07-29 1 1 151,5 151,5 151,5 151,5 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-01 1 1 151,97 151,97 151,97 151,97 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-02 1 1 152,08 152,08 152,08 152,08 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-03 1 1 152,07 152,07 152,07 152,07 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-04 1 1 150,99 150,99 150,99 150,99 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-05 1 1 150,37 150,37 150,37 150,37 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-08 1 1 150,97 150,97 150,97 150,97 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-09 1 1 151,73 151,73 151,73 151,73 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-10 1 1 152,86 152,86 152,86 152,86 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-11 1 1 152,26 152,26 152,26 152,26 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-12 1 1 151,42 151,42 151,42 151,42 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-16 1 1 151,56 151,56 151,56 151,56 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-17 1 1 150,52 150,52 150,52 150,52 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-18 1 1 149,94 149,94 149,94 149,94 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-19 1 1 151,02 151,02 151,02 151,02 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-22 1 1 152,43 152,43 152,43 152,43 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-23 1 1 151,5 151,5 151,5 151,5 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-24 1 1 150,5 150,5 150,5 150,5 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-25 1 1 150,6 150,6 150,6 150,6 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-26 1 1 149,75 149,75 149,75 149,75 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-29 1 1 149,95 149,95 149,95 149,95 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-30 1 1 150,33 150,33 150,33 150,33 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-08-31 1 1 151,51 151,51 151,51 151,51 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-01 1 1 153,9 153,9 153,9 153,9 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-02 1 1 153,51 153,51 153,51 153,51 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-05 1 1 153,33 153,33 153,33 153,33 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-06 1 1 154,01 154,01 154,01 154,01 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-07 1 1 154,77 154,77 154,77 154,77 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-08 1 1 154,96 154,96 154,96 154,96 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-09 1 1 156,36 156,36 156,36 156,36 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-12 1 1 156,36 156,36 156,36 156,36 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-13 1 1 156,06 156,06 156,06 156,06 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-14 1 1 155,79 155,79 155,79 155,79 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-15 1 1 156,76 156,76 156,76 156,76 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-16 1 1 157,85 157,85 157,85 157,85 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-19 1 1 158,08 158,08 158,08 158,08 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-20 1 1 158,02 158,02 158,02 158,02 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-21 1 1 156,93 156,93 156,93 156,93 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-22 1 1 156,51 156,51 156,51 156,51 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-23 1 1 156,58 156,58 156,58 156,58 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-26 1 1 157,44 157,44 157,44 157,44 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-27 1 1 158,07 158,07 158,07 158,07 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-28 1 1 158,41 158,41 158,41 158,41 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-29 1 1 157,36 157,36 157,36 157,36 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-09-30 1 1 156,91 156,91 156,91 156,91 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-03 1 1 158,65 158,65 158,65 158,65 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-04 1 1 158,72 158,72 158,72 158,72 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-05 1 1 157,73 157,73 157,73 157,73 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-06 1 1 154,62 154,62 154,62 154,62 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-07 1 1 154,59 154,59 154,59 154,59 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-10 1 1 155,22 155,22 155,22 155,22 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-11 1 1 155,37 155,37 155,37 155,37 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-12 1 1 154,92 154,92 154,92 154,92 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-13 1 1 151,74 151,74 151,74 151,74 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-14 1 1 152 152 152 152 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-17 1 1 152,96 152,96 152,96 152,96 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-18 1 1 152,18 152,18 152,18 152,18 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-19 1 1 149,48 149,48 149,48 149,48 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-20 1 1 151,33 151,33 151,33 151,33 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-21 1 1 149,98 149,98 149,98 149,98 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-24 1 1 152,62 152,62 152,62 152,62 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-25 1 1 151,98 151,98 151,98 151,98 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-26 1 1 152,35 152,35 152,35 152,35 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-27 1 1 151,65 151,65 151,65 151,65 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-28 1 1 151,71 151,71 151,71 151,71 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-10-31 1 1 156,91 156,91 156,91 156,91 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-02 1 1 159,32 159,32 159,32 159,32 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-03 1 1 162 162 162 162 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-04 1 1 161,33 161,33 161,33 161,33 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-07 1 1 162,27 162,27 162,27 162,27 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-08 1 1 160,66 160,66 160,66 160,66 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-09 1 1 161,41 161,41 161,41 161,41 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-10 1 1 162,45 162,45 162,45 162,45 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-11 1 1 161,63 161,63 161,63 161,63 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-14 1 1 162,45 162,45 162,45 162,45 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-15 1 1 163,33 163,33 163,33 163,33 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-16 1 1 162,67 162,67 162,67 162,67 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-17 1 1 163,73 163,73 163,73 163,73 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-18 1 1 164 164 164 164 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-21 1 1 163,74 163,74 163,74 163,74 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-22 1 1 164,58 164,58 164,58 164,58 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-23 1 1 163,84 163,84 163,84 163,84 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-24 1 1 163,9 163,9 163,9 163,9 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-25 1 1 163,85 163,85 163,85 163,85 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-28 1 1 163,71 163,71 163,71 163,71 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-29 1 1 163,89 163,89 163,89 163,89 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-11-30 1 1 163,61 163,61 163,61 163,61 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-01 1 1 164,84 164,84 164,84 164,84 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-02 1 1 165,18 165,18 165,18 165,18 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-05 1 1 166,11 166,11 166,11 166,11 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-06 1 1 164,88 164,88 164,88 164,88 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-07 1 1 165,8 165,8 165,8 165,8 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-08 1 1 165,05 165,05 165,05 165,05 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-12 1 1 165,34 165,34 165,34 165,34 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-13 1 1 166,16 166,16 166,16 166,16 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-14 1 1 165,58 165,58 165,58 165,58 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-15 1 1 165,06 165,06 165,06 165,06 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-16 1 1 165,65 165,65 165,65 165,65 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-19 1 1 164,97 164,97 164,97 164,97 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-20 1 1 164,84 164,84 164,84 164,84 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-21 1 1 166,15 166,15 166,15 166,15 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-22 1 1 166,71 166,71 166,71 166,71 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-23 1 1 166,95 166,95 166,95 166,95 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-27 1 1 167,7 167,7 167,7 167,7 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-28 1 1 166,65 166,65 166,65 166,65 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-29 1 1 167,42 167,42 167,42 167,42 241497 Carnegie Fund Management Company S A Carnegie Fund - European Equity Sub-Fund SEK 2005-12-30 1 1 166,98 166,98 166,98 166,98 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-03 1 1 327,89 327,89 327,89 327,89 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-04 1 1 327,68 327,68 327,68 327,68 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-05 1 1 327,74 327,74 327,74 327,74 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-07 1 1 329,5 329,5 329,5 329,5 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-10 1 1 332,37 332,37 332,37 332,37 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-11 1 1 330,17 330,17 330,17 330,17 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-12 1 1 329,02 329,02 329,02 329,02 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-13 1 1 328,64 328,64 328,64 328,64 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-14 1 1 326,88 326,88 326,88 326,88 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-17 1 1 328,38 328,38 328,38 328,38 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-18 1 1 328,9 328,9 328,9 328,9 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-19 1 1 331,58 331,58 331,58 331,58 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-20 1 1 329,67 329,67 329,67 329,67 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-21 1 1 328,57 328,57 328,57 328,57 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-24 1 1 326,32 326,32 326,32 326,32 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-25 1 1 326,7 326,7 326,7 326,7 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-26 1 1 327,42 327,42 327,42 327,42 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-27 1 1 326,4 326,4 326,4 326,4 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-28 1 1 327,23 327,23 327,23 327,23 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-01-31 1 1 326,64 326,64 326,64 326,64 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-01 1 1 326,52 326,52 326,52 326,52 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-02 1 1 329,02 329,02 329,02 329,02 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-03 1 1 328,85 328,85 328,85 328,85 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-04 1 1 330,82 330,82 330,82 330,82 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-07 1 1 333,28 333,28 333,28 333,28 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-08 1 1 334,38 334,38 334,38 334,38 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-09 1 1 332,2 332,2 332,2 332,2 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-10 1 1 329,08 329,08 329,08 329,08 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-11 1 1 329,37 329,37 329,37 329,37 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-14 1 1 330,68 330,68 330,68 330,68 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-15 1 1 330,45 330,45 330,45 330,45 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-16 1 1 329 329 329 329 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-17 1 1 331,95 331,95 331,95 331,95 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-18 1 1 330,34 330,34 330,34 330,34 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-21 1 1 333,48 333,48 333,48 333,48 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-22 1 1 330,13 330,13 330,13 330,13 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-23 1 1 327,9 327,9 327,9 327,9 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-24 1 1 325,34 325,34 325,34 325,34 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-25 1 1 329,87 329,87 329,87 329,87 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-02-28 1 1 325,83 325,83 325,83 325,83 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-01 1 1 326,16 326,16 326,16 326,16 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-02 1 1 329,58 329,58 329,58 329,58 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-03 1 1 329,26 329,26 329,26 329,26 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-04 1 1 327,99 327,99 327,99 327,99 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-07 1 1 328,73 328,73 328,73 328,73 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-08 1 1 324,95 324,95 324,95 324,95 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-09 1 1 320,75 320,75 320,75 320,75 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-10 1 1 321,49 321,49 321,49 321,49 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-11 1 1 320,43 320,43 320,43 320,43 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-14 1 1 319,6 319,6 319,6 319,6 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-15 1 1 325,44 325,44 325,44 325,44 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-16 1 1 320,14 320,14 320,14 320,14 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-17 1 1 319,22 319,22 319,22 319,22 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-18 1 1 320,83 320,83 320,83 320,83 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-21 1 1 324,51 324,51 324,51 324,51 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-22 1 1 324,67 324,67 324,67 324,67 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-23 1 1 324,7 324,7 324,7 324,7 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-24 1 1 327,13 327,13 327,13 327,13 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-29 1 1 326,92 326,92 326,92 326,92 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-30 1 1 325,3 325,3 325,3 325,3 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-03-31 1 1 324,87 324,87 324,87 324,87 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-01 1 1 328,01 328,01 328,01 328,01 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-04 1 1 325,49 325,49 325,49 325,49 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-05 1 1 329,43 329,43 329,43 329,43 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-06 1 1 332,34 332,34 332,34 332,34 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-07 1 1 331,96 331,96 331,96 331,96 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-08 1 1 337,25 337,25 337,25 337,25 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-11 1 1 334,3 334,3 334,3 334,3 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-12 1 1 330,46 330,46 330,46 330,46 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-13 1 1 335,78 335,78 335,78 335,78 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-14 1 1 337,64 337,64 337,64 337,64 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-15 1 1 338,45 338,45 338,45 338,45 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-18 1 1 334,92 334,92 334,92 334,92 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-19 1 1 337,48 337,48 337,48 337,48 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-20 1 1 337,06 337,06 337,06 337,06 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-21 1 1 338,04 338,04 338,04 338,04 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-22 1 1 339,55 339,55 339,55 339,55 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-25 1 1 339,58 339,58 339,58 339,58 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-26 1 1 341,1 341,1 341,1 341,1 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-27 1 1 337,81 337,81 337,81 337,81 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-28 1 1 338,76 338,76 338,76 338,76 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-04-29 1 1 336,74 336,74 336,74 336,74 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-02 1 1 342,08 342,08 342,08 342,08 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-03 1 1 343,2 343,2 343,2 343,2 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-04 1 1 343,5 343,5 343,5 343,5 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-06 1 1 349,68 349,68 349,68 349,68 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-09 1 1 349,86 349,86 349,86 349,86 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-10 1 1 350,94 350,94 350,94 350,94 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-11 1 1 352,43 352,43 352,43 352,43 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-12 1 1 357,26 357,26 357,26 357,26 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-13 1 1 355,77 355,77 355,77 355,77 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-17 1 1 356,39 356,39 356,39 356,39 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-18 1 1 358,81 358,81 358,81 358,81 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-19 1 1 359,23 359,23 359,23 359,23 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-20 1 1 360,69 360,69 360,69 360,69 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-23 1 1 362,02 362,02 362,02 362,02 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-24 1 1 363,1 363,1 363,1 363,1 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-25 1 1 361,81 361,81 361,81 361,81 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-26 1 1 365,29 365,29 365,29 365,29 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-27 1 1 366,64 366,64 366,64 366,64 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-30 1 1 368,23 368,23 368,23 368,23 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-05-31 1 1 370,09 370,09 370,09 370,09 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-01 1 1 372,44 372,44 372,44 372,44 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-02 1 1 373,59 373,59 373,59 373,59 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-03 1 1 372,99 372,99 372,99 372,99 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-07 1 1 372,38 372,38 372,38 372,38 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-08 1 1 371,29 371,29 371,29 371,29 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-09 1 1 371,61 371,61 371,61 371,61 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-10 1 1 377,34 377,34 377,34 377,34 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-13 1 1 381,93 381,93 381,93 381,93 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-14 1 1 384,44 384,44 384,44 384,44 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-15 1 1 383,41 383,41 383,41 383,41 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-16 1 1 383,99 383,99 383,99 383,99 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-17 1 1 383,97 383,97 383,97 383,97 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-20 1 1 385,31 385,31 385,31 385,31 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-21 1 1 384,99 384,99 384,99 384,99 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-22 1 1 387,78 387,78 387,78 387,78 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-27 1 1 386,26 386,26 386,26 386,26 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-28 1 1 390,67 390,67 390,67 390,67 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-29 1 1 395,28 395,28 395,28 395,28 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-06-30 1 1 396,5 396,5 396,5 396,5 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-01 1 1 398,29 398,29 398,29 398,29 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-04 1 1 401,14 401,14 401,14 401,14 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-05 1 1 399,57 399,57 399,57 399,57 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-06 1 1 400,8 400,8 400,8 400,8 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-07 1 1 396,68 396,68 396,68 396,68 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-08 1 1 401,83 401,83 401,83 401,83 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-11 1 1 408,32 408,32 408,32 408,32 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-12 1 1 402,45 402,45 402,45 402,45 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-13 1 1 400,9 400,9 400,9 400,9 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-14 1 1 403,91 403,91 403,91 403,91 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-15 1 1 405,95 405,95 405,95 405,95 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-18 1 1 406,59 406,59 406,59 406,59 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-19 1 1 409,15 409,15 409,15 409,15 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-20 1 1 412,44 412,44 412,44 412,44 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-21 1 1 411,19 411,19 411,19 411,19 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-22 1 1 410,33 410,33 410,33 410,33 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-25 1 1 410,73 410,73 410,73 410,73 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-26 1 1 415,39 415,39 415,39 415,39 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-27 1 1 416,24 416,24 416,24 416,24 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-28 1 1 417,03 417,03 417,03 417,03 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-07-29 1 1 419,82 419,82 419,82 419,82 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-01 1 1 418,48 418,48 418,48 418,48 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-02 1 1 419,37 419,37 419,37 419,37 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-03 1 1 418,7 418,7 418,7 418,7 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-04 1 1 414,58 414,58 414,58 414,58 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-05 1 1 411,82 411,82 411,82 411,82 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-08 1 1 410,09 410,09 410,09 410,09 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-09 1 1 410,33 410,33 410,33 410,33 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-10 1 1 411,54 411,54 411,54 411,54 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-11 1 1 407,96 407,96 407,96 407,96 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-12 1 1 406,41 406,41 406,41 406,41 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-16 1 1 410,44 410,44 410,44 410,44 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-17 1 1 409,22 409,22 409,22 409,22 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-18 1 1 410,76 410,76 410,76 410,76 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-19 1 1 415,07 415,07 415,07 415,07 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-22 1 1 413,74 413,74 413,74 413,74 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-23 1 1 413,08 413,08 413,08 413,08 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-24 1 1 409,3 409,3 409,3 409,3 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-25 1 1 408,27 408,27 408,27 408,27 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-26 1 1 404,75 404,75 404,75 404,75 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-29 1 1 405,44 405,44 405,44 405,44 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-30 1 1 410,56 410,56 410,56 410,56 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-08-31 1 1 412,37 412,37 412,37 412,37 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-01 1 1 414,92 414,92 414,92 414,92 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-02 1 1 411,67 411,67 411,67 411,67 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-05 1 1 411,59 411,59 411,59 411,59 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-06 1 1 415,96 415,96 415,96 415,96 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-07 1 1 420,81 420,81 420,81 420,81 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-08 1 1 422,36 422,36 422,36 422,36 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-09 1 1 424,14 424,14 424,14 424,14 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-12 1 1 427,38 427,38 427,38 427,38 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-13 1 1 424,26 424,26 424,26 424,26 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-14 1 1 422,53 422,53 422,53 422,53 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-15 1 1 423,7 423,7 423,7 423,7 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-16 1 1 424,29 424,29 424,29 424,29 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-19 1 1 426,15 426,15 426,15 426,15 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-20 1 1 425,37 425,37 425,37 425,37 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-21 1 1 420,5 420,5 420,5 420,5 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-22 1 1 419,75 419,75 419,75 419,75 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-23 1 1 423,84 423,84 423,84 423,84 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-26 1 1 428,63 428,63 428,63 428,63 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-27 1 1 426,58 426,58 426,58 426,58 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-28 1 1 426,4 426,4 426,4 426,4 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-29 1 1 423,67 423,67 423,67 423,67 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-09-30 1 1 427,28 427,28 427,28 427,28 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-03 1 1 434,55 434,55 434,55 434,55 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-04 1 1 437,11 437,11 437,11 437,11 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-05 1 1 434,02 434,02 434,02 434,02 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-06 1 1 423,59 423,59 423,59 423,59 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-07 1 1 423,07 423,07 423,07 423,07 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-10 1 1 423,15 423,15 423,15 423,15 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-11 1 1 423,38 423,38 423,38 423,38 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-12 1 1 419,79 419,79 419,79 419,79 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-13 1 1 417,47 417,47 417,47 417,47 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-14 1 1 421,07 421,07 421,07 421,07 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-17 1 1 425,67 425,67 425,67 425,67 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-18 1 1 429,67 429,67 429,67 429,67 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-19 1 1 424,71 424,71 424,71 424,71 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-20 1 1 426,94 426,94 426,94 426,94 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-21 1 1 420,14 420,14 420,14 420,14 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-24 1 1 427,21 427,21 427,21 427,21 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-25 1 1 425,46 425,46 425,46 425,46 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-26 1 1 427,34 427,34 427,34 427,34 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-27 1 1 422,58 422,58 422,58 422,58 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-28 1 1 421,42 421,42 421,42 421,42 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-10-31 1 1 431,51 431,51 431,51 431,51 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-02 1 1 438,93 438,93 438,93 438,93 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-03 1 1 446,23 446,23 446,23 446,23 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-04 1 1 446,77 446,77 446,77 446,77 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-07 1 1 449,4 449,4 449,4 449,4 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-08 1 1 447,3 447,3 447,3 447,3 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-09 1 1 448,45 448,45 448,45 448,45 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-10 1 1 452,74 452,74 452,74 452,74 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-11 1 1 455,86 455,86 455,86 455,86 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-14 1 1 453,85 453,85 453,85 453,85 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-15 1 1 454,04 454,04 454,04 454,04 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-16 1 1 454,27 454,27 454,27 454,27 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-17 1 1 455,5 455,5 455,5 455,5 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-18 1 1 457,34 457,34 457,34 457,34 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-21 1 1 452,09 452,09 452,09 452,09 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-22 1 1 456,74 456,74 456,74 456,74 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-23 1 1 452,38 452,38 452,38 452,38 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-24 1 1 452,92 452,92 452,92 452,92 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-25 1 1 452,01 452,01 452,01 452,01 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-28 1 1 449,02 449,02 449,02 449,02 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-29 1 1 448,27 448,27 448,27 448,27 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-11-30 1 1 447,7 447,7 447,7 447,7 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-01 1 1 450,47 450,47 450,47 450,47 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-02 1 1 450,77 450,77 450,77 450,77 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-05 1 1 449,72 449,72 449,72 449,72 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-06 1 1 447,21 447,21 447,21 447,21 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-07 1 1 447,67 447,67 447,67 447,67 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-08 1 1 445,74 445,74 445,74 445,74 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-12 1 1 441,26 441,26 441,26 441,26 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-13 1 1 441,72 441,72 441,72 441,72 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-14 1 1 440,21 440,21 440,21 440,21 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-15 1 1 440,22 440,22 440,22 440,22 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-16 1 1 442,37 442,37 442,37 442,37 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-19 1 1 439,07 439,07 439,07 439,07 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-20 1 1 438,19 438,19 438,19 438,19 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-21 1 1 444,72 444,72 444,72 444,72 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-22 1 1 447,1 447,1 447,1 447,1 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-23 1 1 449,52 449,52 449,52 449,52 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-27 1 1 451,26 451,26 451,26 451,26 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-28 1 1 444,11 444,11 444,11 444,11 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-29 1 1 447,54 447,54 447,54 447,54 313155 Carnegie Fund Management Company S A Carnegie Fund - Medical Sub-Fund SEK 2005-12-30 1 1 444,63 444,63 444,63 444,63 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-03 1 1 473,39 473,39 473,39 473,39 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-04 1 1 471,06 471,06 471,06 471,06 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-05 1 1 468,24 468,24 468,24 468,24 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-07 1 1 470,92 470,92 470,92 470,92 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-10 1 1 474,31 474,31 474,31 474,31 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-11 1 1 471,43 471,43 471,43 471,43 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-12 1 1 467,24 467,24 467,24 467,24 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-13 1 1 468,72 468,72 468,72 468,72 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-14 1 1 471,16 471,16 471,16 471,16 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-17 1 1 474,26 474,26 474,26 474,26 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-18 1 1 473,57 473,57 473,57 473,57 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-19 1 1 474,97 474,97 474,97 474,97 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-20 1 1 470,12 470,12 470,12 470,12 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-21 1 1 471,56 471,56 471,56 471,56 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-24 1 1 469,86 469,86 469,86 469,86 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-25 1 1 474,78 474,78 474,78 474,78 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-26 1 1 474,75 474,75 474,75 474,75 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-27 1 1 474,61 474,61 474,61 474,61 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-28 1 1 474,13 474,13 474,13 474,13 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-01-31 1 1 475,82 475,82 475,82 475,82 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-01 1 1 478,32 478,32 478,32 478,32 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-02 1 1 481,51 481,51 481,51 481,51 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-03 1 1 483,53 483,53 483,53 483,53 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-04 1 1 483,82 483,82 483,82 483,82 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-07 1 1 486,01 486,01 486,01 486,01 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-08 1 1 484,53 484,53 484,53 484,53 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-09 1 1 485,85 485,85 485,85 485,85 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-10 1 1 483,62 483,62 483,62 483,62 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-11 1 1 486,95 486,95 486,95 486,95 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-14 1 1 487,23 487,23 487,23 487,23 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-15 1 1 490,27 490,27 490,27 490,27 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-16 1 1 487,28 487,28 487,28 487,28 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-17 1 1 492,08 492,08 492,08 492,08 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-18 1 1 489,88 489,88 489,88 489,88 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-21 1 1 491,01 491,01 491,01 491,01 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-22 1 1 488,24 488,24 488,24 488,24 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-23 1 1 488,6 488,6 488,6 488,6 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-24 1 1 490,39 490,39 490,39 490,39 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-25 1 1 493,12 493,12 493,12 493,12 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-02-28 1 1 496,81 496,81 496,81 496,81 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-01 1 1 496,26 496,26 496,26 496,26 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-02 1 1 495,72 495,72 495,72 495,72 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-03 1 1 497,78 497,78 497,78 497,78 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-04 1 1 503,26 503,26 503,26 503,26 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-07 1 1 504,46 504,46 504,46 504,46 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-08 1 1 502,69 502,69 502,69 502,69 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-09 1 1 502,62 502,62 502,62 502,62 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-10 1 1 499,36 499,36 499,36 499,36 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-11 1 1 503,95 503,95 503,95 503,95 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-14 1 1 502,46 502,46 502,46 502,46 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-15 1 1 505,62 505,62 505,62 505,62 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-16 1 1 500,42 500,42 500,42 500,42 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-17 1 1 503,94 503,94 503,94 503,94 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-18 1 1 505,39 505,39 505,39 505,39 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-21 1 1 505,67 505,67 505,67 505,67 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-22 1 1 504,57 504,57 504,57 504,57 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-23 1 1 500,33 500,33 500,33 500,33 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-24 1 1 500,67 500,67 500,67 500,67 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-29 1 1 499,86 499,86 499,86 499,86 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-30 1 1 498,56 498,56 498,56 498,56 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-03-31 1 1 502,63 502,63 502,63 502,63 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-01 1 1 508,15 508,15 508,15 508,15 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-04 1 1 508,53 508,53 508,53 508,53 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-05 1 1 510,55 510,55 510,55 510,55 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-06 1 1 514,64 514,64 514,64 514,64 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-07 1 1 517,55 517,55 517,55 517,55 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-08 1 1 520,79 520,79 520,79 520,79 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-11 1 1 518,01 518,01 518,01 518,01 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-12 1 1 517,97 517,97 517,97 517,97 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-13 1 1 517,83 517,83 517,83 517,83 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-14 1 1 518,07 518,07 518,07 518,07 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-15 1 1 511,47 511,47 511,47 511,47 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-18 1 1 501,91 501,91 501,91 501,91 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-19 1 1 504,94 504,94 504,94 504,94 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-20 1 1 505,57 505,57 505,57 505,57 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-21 1 1 508,77 508,77 508,77 508,77 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-22 1 1 511,89 511,89 511,89 511,89 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-25 1 1 511,96 511,96 511,96 511,96 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-26 1 1 510,35 510,35 510,35 510,35 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-27 1 1 500,08 500,08 500,08 500,08 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-28 1 1 495,88 495,88 495,88 495,88 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-04-29 1 1 498,71 498,71 498,71 498,71 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-02 1 1 501,08 501,08 501,08 501,08 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-03 1 1 503,08 503,08 503,08 503,08 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-04 1 1 501,81 501,81 501,81 501,81 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-06 1 1 511,21 511,21 511,21 511,21 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-09 1 1 511,99 511,99 511,99 511,99 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-10 1 1 514,06 514,06 514,06 514,06 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-11 1 1 512,97 512,97 512,97 512,97 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-12 1 1 512,97 512,97 512,97 512,97 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-13 1 1 513,87 513,87 513,87 513,87 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-17 1 1 515,56 515,56 515,56 515,56 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-18 1 1 520,9 520,9 520,9 520,9 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-19 1 1 521,37 521,37 521,37 521,37 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-20 1 1 521,5 521,5 521,5 521,5 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-23 1 1 521,89 521,89 521,89 521,89 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-24 1 1 525,14 525,14 525,14 525,14 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-25 1 1 527,22 527,22 527,22 527,22 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-26 1 1 532,09 532,09 532,09 532,09 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-27 1 1 533,81 533,81 533,81 533,81 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-30 1 1 534,95 534,95 534,95 534,95 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-05-31 1 1 534,17 534,17 534,17 534,17 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-01 1 1 535,79 535,79 535,79 535,79 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-02 1 1 537,33 537,33 537,33 537,33 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-03 1 1 536,89 536,89 536,89 536,89 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-07 1 1 540,8 540,8 540,8 540,8 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-08 1 1 545,24 545,24 545,24 545,24 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-09 1 1 545,42 545,42 545,42 545,42 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-10 1 1 552,1 552,1 552,1 552,1 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-13 1 1 553,39 553,39 553,39 553,39 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-14 1 1 555,28 555,28 555,28 555,28 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-15 1 1 554,32 554,32 554,32 554,32 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-16 1 1 554,98 554,98 554,98 554,98 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-17 1 1 558,38 558,38 558,38 558,38 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-20 1 1 559,58 559,58 559,58 559,58 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-21 1 1 559,77 559,77 559,77 559,77 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-22 1 1 563,38 563,38 563,38 563,38 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-27 1 1 564,26 564,26 564,26 564,26 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-28 1 1 568,69 568,69 568,69 568,69 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-29 1 1 574,07 574,07 574,07 574,07 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-06-30 1 1 574,27 574,27 574,27 574,27 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-01 1 1 578,75 578,75 578,75 578,75 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-04 1 1 584,91 584,91 584,91 584,91 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-05 1 1 582,53 582,53 582,53 582,53 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-06 1 1 586,6 586,6 586,6 586,6 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-07 1 1 579,16 579,16 579,16 579,16 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-08 1 1 591,32 591,32 591,32 591,32 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-11 1 1 595,1 595,1 595,1 595,1 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-12 1 1 593,53 593,53 593,53 593,53 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-13 1 1 594,66 594,66 594,66 594,66 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-14 1 1 595,17 595,17 595,17 595,17 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-15 1 1 589,06 589,06 589,06 589,06 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-18 1 1 587,92 587,92 587,92 587,92 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-19 1 1 588,26 588,26 588,26 588,26 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-20 1 1 588,98 588,98 588,98 588,98 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-21 1 1 590,15 590,15 590,15 590,15 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-22 1 1 591,09 591,09 591,09 591,09 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-25 1 1 593,46 593,46 593,46 593,46 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-26 1 1 597,13 597,13 597,13 597,13 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-27 1 1 599,69 599,69 599,69 599,69 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-28 1 1 602,01 602,01 602,01 602,01 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-07-29 1 1 604,21 604,21 604,21 604,21 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-01 1 1 605,4 605,4 605,4 605,4 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-02 1 1 606,95 606,95 606,95 606,95 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-03 1 1 610,11 610,11 610,11 610,11 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-04 1 1 604,01 604,01 604,01 604,01 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-05 1 1 605,35 605,35 605,35 605,35 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-08 1 1 609,46 609,46 609,46 609,46 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-09 1 1 614,88 614,88 614,88 614,88 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-10 1 1 617,31 617,31 617,31 617,31 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-11 1 1 615,76 615,76 615,76 615,76 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-12 1 1 614,02 614,02 614,02 614,02 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-16 1 1 607,6 607,6 607,6 607,6 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-17 1 1 602,39 602,39 602,39 602,39 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-18 1 1 602,92 602,92 602,92 602,92 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-19 1 1 608,74 608,74 608,74 608,74 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-22 1 1 612,7 612,7 612,7 612,7 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-23 1 1 609,51 609,51 609,51 609,51 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-24 1 1 602,06 602,06 602,06 602,06 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-25 1 1 601,47 601,47 601,47 601,47 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-26 1 1 598,66 598,66 598,66 598,66 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-29 1 1 599,23 599,23 599,23 599,23 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-30 1 1 603,34 603,34 603,34 603,34 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-08-31 1 1 610,91 610,91 610,91 610,91 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-01 1 1 620,7 620,7 620,7 620,7 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-02 1 1 616,46 616,46 616,46 616,46 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-05 1 1 617,14 617,14 617,14 617,14 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-06 1 1 620,19 620,19 620,19 620,19 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-07 1 1 620,97 620,97 620,97 620,97 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-08 1 1 618,7 618,7 618,7 618,7 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-09 1 1 625,27 625,27 625,27 625,27 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-12 1 1 625,33 625,33 625,33 625,33 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-13 1 1 626,02 626,02 626,02 626,02 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-14 1 1 628,66 628,66 628,66 628,66 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-15 1 1 633,8 633,8 633,8 633,8 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-16 1 1 637,15 637,15 637,15 637,15 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-19 1 1 641,51 641,51 641,51 641,51 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-20 1 1 640,69 640,69 640,69 640,69 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-21 1 1 639,35 639,35 639,35 639,35 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-22 1 1 640,42 640,42 640,42 640,42 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-23 1 1 640,9 640,9 640,9 640,9 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-26 1 1 641,26 641,26 641,26 641,26 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-27 1 1 643,73 643,73 643,73 643,73 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-28 1 1 645,07 645,07 645,07 645,07 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-29 1 1 645,74 645,74 645,74 645,74 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-09-30 1 1 644,53 644,53 644,53 644,53 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-03 1 1 648,53 648,53 648,53 648,53 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-04 1 1 645,46 645,46 645,46 645,46 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-05 1 1 637,25 637,25 637,25 637,25 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-06 1 1 625,27 625,27 625,27 625,27 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-07 1 1 623,87 623,87 623,87 623,87 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-10 1 1 629,72 629,72 629,72 629,72 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-11 1 1 629,95 629,95 629,95 629,95 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-12 1 1 627,64 627,64 627,64 627,64 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-13 1 1 610,08 610,08 610,08 610,08 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-14 1 1 609,26 609,26 609,26 609,26 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-17 1 1 614,4 614,4 614,4 614,4 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-18 1 1 605,56 605,56 605,56 605,56 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-19 1 1 592,07 592,07 592,07 592,07 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-20 1 1 597,27 597,27 597,27 597,27 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-21 1 1 589,33 589,33 589,33 589,33 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-24 1 1 600,63 600,63 600,63 600,63 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-25 1 1 601,7 601,7 601,7 601,7 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-26 1 1 608,1 608,1 608,1 608,1 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-27 1 1 603,36 603,36 603,36 603,36 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-28 1 1 600,82 600,82 600,82 600,82 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-10-31 1 1 614,66 614,66 614,66 614,66 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-02 1 1 619,95 619,95 619,95 619,95 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-03 1 1 634,51 634,51 634,51 634,51 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-04 1 1 633,44 633,44 633,44 633,44 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-07 1 1 633,06 633,06 633,06 633,06 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-08 1 1 625,59 625,59 625,59 625,59 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-09 1 1 628,7 628,7 628,7 628,7 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-10 1 1 628,09 628,09 628,09 628,09 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-11 1 1 623,91 623,91 623,91 623,91 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-14 1 1 629,28 629,28 629,28 629,28 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-15 1 1 626,67 626,67 626,67 626,67 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-16 1 1 624,89 624,89 624,89 624,89 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-17 1 1 627,81 627,81 627,81 627,81 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-18 1 1 626,45 626,45 626,45 626,45 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-21 1 1 625,86 625,86 625,86 625,86 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-22 1 1 631,03 631,03 631,03 631,03 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-23 1 1 629,53 629,53 629,53 629,53 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-24 1 1 628,83 628,83 628,83 628,83 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-25 1 1 635,4 635,4 635,4 635,4 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-28 1 1 633,35 633,35 633,35 633,35 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-29 1 1 631,54 631,54 631,54 631,54 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-11-30 1 1 629,16 629,16 629,16 629,16 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-01 1 1 637,49 637,49 637,49 637,49 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-02 1 1 642,94 642,94 642,94 642,94 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-05 1 1 644,99 644,99 644,99 644,99 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-06 1 1 643,42 643,42 643,42 643,42 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-07 1 1 648,96 648,96 648,96 648,96 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-08 1 1 650,32 650,32 650,32 650,32 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-12 1 1 650,82 650,82 650,82 650,82 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-13 1 1 652,19 652,19 652,19 652,19 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-14 1 1 649,97 649,97 649,97 649,97 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-15 1 1 646,43 646,43 646,43 646,43 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-16 1 1 647,14 647,14 647,14 647,14 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-19 1 1 644,1 644,1 644,1 644,1 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-20 1 1 642,47 642,47 642,47 642,47 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-21 1 1 644,63 644,63 644,63 644,63 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-22 1 1 647,53 647,53 647,53 647,53 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-23 1 1 651,26 651,26 651,26 651,26 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-27 1 1 654,53 654,53 654,53 654,53 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-28 1 1 652,07 652,07 652,07 652,07 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-29 1 1 654,98 654,98 654,98 654,98 348987 Carnegie Fund Management Company S A Carnegie Fund - Nordic Markets Sub-Fund SEK 2005-12-30 1 1 653,84 653,84 653,84 653,84 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-06 1 1 99,13 99,13 99,13 99,13 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-09 1 1 99,21 99,21 99,21 99,21 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-10 1 1 98,8 98,8 98,8 98,8 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-11 1 1 98,89 98,89 98,89 98,89 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-12 1 1 99,23 99,23 99,23 99,23 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-13 1 1 99,26 99,26 99,26 99,26 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-17 1 1 99,79 99,79 99,79 99,79 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-18 1 1 100,37 100,37 100,37 100,37 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-19 1 1 100,61 100,61 100,61 100,61 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-20 1 1 100,6 100,6 100,6 100,6 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-23 1 1 100,71 100,71 100,71 100,71 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-24 1 1 100,82 100,82 100,82 100,82 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-25 1 1 100,86 100,86 100,86 100,86 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-26 1 1 101,24 101,24 101,24 101,24 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-27 1 1 101,52 101,52 101,52 101,52 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-30 1 1 101,75 101,75 101,75 101,75 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-05-31 1 1 101,95 101,95 101,95 101,95 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-01 1 1 101,81 101,81 101,81 101,81 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-02 1 1 101,55 101,55 101,55 101,55 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-03 1 1 101,24 101,24 101,24 101,24 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-07 1 1 101,61 101,61 101,61 101,61 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-08 1 1 102,12 102,12 102,12 102,12 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-09 1 1 102,05 102,05 102,05 102,05 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-10 1 1 102,68 102,68 102,68 102,68 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-13 1 1 102,72 102,72 102,72 102,72 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-14 1 1 103,53 103,53 103,53 103,53 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-15 1 1 103,59 103,59 103,59 103,59 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-16 1 1 103,48 103,48 103,48 103,48 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-17 1 1 104,12 104,12 104,12 104,12 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-20 1 1 103,94 103,94 103,94 103,94 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-21 1 1 104,26 104,26 104,26 104,26 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-22 1 1 104,69 104,69 104,69 104,69 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-27 1 1 103,46 103,46 103,46 103,46 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-28 1 1 103,97 103,97 103,97 103,97 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-29 1 1 104,6 104,6 104,6 104,6 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-06-30 1 1 104,87 104,87 104,87 104,87 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-01 1 1 105,2 105,2 105,2 105,2 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-04 1 1 105,67 105,67 105,67 105,67 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-05 1 1 105,53 105,53 105,53 105,53 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-06 1 1 105,99 105,99 105,99 105,99 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-07 1 1 103,82 103,82 103,82 103,82 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-08 1 1 104,95 104,95 104,95 104,95 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-11 1 1 106,03 106,03 106,03 106,03 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-12 1 1 106,22 106,22 106,22 106,22 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-13 1 1 106,82 106,82 106,82 106,82 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-14 1 1 106,82 106,82 106,82 106,82 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-15 1 1 106,75 106,75 106,75 106,75 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-18 1 1 106,8 106,8 106,8 106,8 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-19 1 1 106,99 106,99 106,99 106,99 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-20 1 1 106,55 106,55 106,55 106,55 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-21 1 1 107,36 107,36 107,36 107,36 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-22 1 1 107,54 107,54 107,54 107,54 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-25 1 1 106,98 106,98 106,98 106,98 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-26 1 1 107,63 107,63 107,63 107,63 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-27 1 1 107,9 107,9 107,9 107,9 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-28 1 1 108,57 108,57 108,57 108,57 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-07-29 1 1 108,43 108,43 108,43 108,43 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-01 1 1 108,47 108,47 108,47 108,47 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-02 1 1 109,01 109,01 109,01 109,01 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-03 1 1 108,86 108,86 108,86 108,86 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-04 1 1 108,46 108,46 108,46 108,46 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-05 1 1 108,42 108,42 108,42 108,42 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-08 1 1 108,32 108,32 108,32 108,32 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-09 1 1 108,39 108,39 108,39 108,39 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-10 1 1 109,52 109,52 109,52 109,52 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-11 1 1 108,89 108,89 108,89 108,89 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-12 1 1 108,74 108,74 108,74 108,74 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-16 1 1 108,71 108,71 108,71 108,71 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-17 1 1 108,14 108,14 108,14 108,14 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-18 1 1 108,12 108,12 108,12 108,12 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-19 1 1 109,14 109,14 109,14 109,14 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-22 1 1 109,1 109,1 109,1 109,1 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-23 1 1 108,36 108,36 108,36 108,36 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-24 1 1 106,81 106,81 106,81 106,81 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-25 1 1 106,05 106,05 106,05 106,05 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-26 1 1 105,3 105,3 105,3 105,3 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-29 1 1 105,37 105,37 105,37 105,37 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-30 1 1 105,74 105,74 105,74 105,74 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-08-31 1 1 106,15 106,15 106,15 106,15 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-01 1 1 106,81 106,81 106,81 106,81 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-02 1 1 106,56 106,56 106,56 106,56 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-05 1 1 107,25 107,25 107,25 107,25 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-06 1 1 107,79 107,79 107,79 107,79 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-07 1 1 108,13 108,13 108,13 108,13 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-08 1 1 107,64 107,64 107,64 107,64 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-09 1 1 108,31 108,31 108,31 108,31 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-12 1 1 108,61 108,61 108,61 108,61 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-13 1 1 108,38 108,38 108,38 108,38 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-14 1 1 108,96 108,96 108,96 108,96 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-15 1 1 108,64 108,64 108,64 108,64 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-16 1 1 108,79 108,79 108,79 108,79 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-19 1 1 109,28 109,28 109,28 109,28 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-20 1 1 108,96 108,96 108,96 108,96 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-21 1 1 108,41 108,41 108,41 108,41 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-22 1 1 108,16 108,16 108,16 108,16 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-23 1 1 108,49 108,49 108,49 108,49 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-26 1 1 109,58 109,58 109,58 109,58 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-27 1 1 109,97 109,97 109,97 109,97 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-28 1 1 110,56 110,56 110,56 110,56 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-29 1 1 110,61 110,61 110,61 110,61 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-09-30 1 1 111,47 111,47 111,47 111,47 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-03 1 1 111,98 111,98 111,98 111,98 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-04 1 1 111,92 111,92 111,92 111,92 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-05 1 1 111,26 111,26 111,26 111,26 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-06 1 1 110,37 110,37 110,37 110,37 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-07 1 1 110,33 110,33 110,33 110,33 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-10 1 1 110,75 110,75 110,75 110,75 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-11 1 1 110,91 110,91 110,91 110,91 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-12 1 1 110,02 110,02 110,02 110,02 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-13 1 1 108,64 108,64 108,64 108,64 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-14 1 1 108,67 108,67 108,67 108,67 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-17 1 1 108,65 108,65 108,65 108,65 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-18 1 1 108,24 108,24 108,24 108,24 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-19 1 1 107,21 107,21 107,21 107,21 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-20 1 1 107,57 107,57 107,57 107,57 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-21 1 1 106,89 106,89 106,89 106,89 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-24 1 1 107,55 107,55 107,55 107,55 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-25 1 1 108,29 108,29 108,29 108,29 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-26 1 1 108,28 108,28 108,28 108,28 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-27 1 1 107,69 107,69 107,69 107,69 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-28 1 1 107 107 107 107 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-10-31 1 1 109,19 109,19 109,19 109,19 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-02 1 1 109,57 109,57 109,57 109,57 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-03 1 1 110,86 110,86 110,86 110,86 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-04 1 1 110,73 110,73 110,73 110,73 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-07 1 1 111,27 111,27 111,27 111,27 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-08 1 1 111,06 111,06 111,06 111,06 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-09 1 1 111,11 111,11 111,11 111,11 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-10 1 1 111,52 111,52 111,52 111,52 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-11 1 1 112,32 112,32 112,32 112,32 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-14 1 1 112,86 112,86 112,86 112,86 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-15 1 1 112,34 112,34 112,34 112,34 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-16 1 1 112,43 112,43 112,43 112,43 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-17 1 1 112,75 112,75 112,75 112,75 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-18 1 1 113,14 113,14 113,14 113,14 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-21 1 1 113,18 113,18 113,18 113,18 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-22 1 1 113,39 113,39 113,39 113,39 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-23 1 1 113,49 113,49 113,49 113,49 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-24 1 1 113,17 113,17 113,17 113,17 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-25 1 1 113,55 113,55 113,55 113,55 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-28 1 1 113,68 113,68 113,68 113,68 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-29 1 1 113,74 113,74 113,74 113,74 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-11-30 1 1 112,73 112,73 112,73 112,73 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-01 1 1 113,85 113,85 113,85 113,85 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-02 1 1 115,02 115,02 115,02 115,02 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-05 1 1 114,86 114,86 114,86 114,86 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-06 1 1 115,4 115,4 115,4 115,4 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-07 1 1 115,39 115,39 115,39 115,39 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-08 1 1 115,63 115,63 115,63 115,63 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-12 1 1 115,98 115,98 115,98 115,98 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-13 1 1 115,71 115,71 115,71 115,71 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-14 1 1 115,46 115,46 115,46 115,46 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-15 1 1 115,49 115,49 115,49 115,49 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-16 1 1 115,74 115,74 115,74 115,74 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-19 1 1 116,03 116,03 116,03 116,03 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-20 1 1 116,01 116,01 116,01 116,01 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-21 1 1 116,55 116,55 116,55 116,55 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-22 1 1 116,93 116,93 116,93 116,93 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-23 1 1 118,11 118,11 118,11 118,11 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-27 1 1 118,73 118,73 118,73 118,73 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-28 1 1 118,54 118,54 118,54 118,54 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-29 1 1 118,94 118,94 118,94 118,94 887554 Carnegie Fund Management Company S A Carnegie Fund - Safety 90 Sverige Sub-Fund SEK 2005-12-30 1 1 118,49 118,49 118,49 118,49 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-06 1 1 111,56 111,56 111,56 111,56 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-09 1 1 111,58 111,58 111,58 111,58 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-10 1 1 111,62 111,62 111,62 111,62 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-11 1 1 111,61 111,61 111,61 111,61 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-12 1 1 111,6 111,6 111,6 111,6 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-13 1 1 111,62 111,62 111,62 111,62 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-17 1 1 111,66 111,66 111,66 111,66 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-18 1 1 111,68 111,68 111,68 111,68 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-19 1 1 111,68 111,68 111,68 111,68 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-20 1 1 111,67 111,67 111,67 111,67 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-23 1 1 111,69 111,69 111,69 111,69 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-24 1 1 111,69 111,69 111,69 111,69 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-25 1 1 111,69 111,69 111,69 111,69 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-26 1 1 111,69 111,69 111,69 111,69 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-27 1 1 111,69 111,69 111,69 111,69 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-30 1 1 111,69 111,69 111,69 111,69 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-05-31 1 1 111,72 111,72 111,72 111,72 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-01 1 1 111,74 111,74 111,74 111,74 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-02 1 1 111,75 111,75 111,75 111,75 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-03 1 1 111,77 111,77 111,77 111,77 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-07 1 1 111,78 111,78 111,78 111,78 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-08 1 1 111,84 111,84 111,84 111,84 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-09 1 1 111,85 111,85 111,85 111,85 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-10 1 1 111,86 111,86 111,86 111,86 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-13 1 1 111,88 111,88 111,88 111,88 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-14 1 1 111,9 111,9 111,9 111,9 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-15 1 1 111,92 111,92 111,92 111,92 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-16 1 1 111,93 111,93 111,93 111,93 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-17 1 1 111,96 111,96 111,96 111,96 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-20 1 1 111,97 111,97 111,97 111,97 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-21 1 1 112,07 112,07 112,07 112,07 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-22 1 1 112,11 112,11 112,11 112,11 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-27 1 1 112,11 112,11 112,11 112,11 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-28 1 1 112,11 112,11 112,11 112,11 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-29 1 1 112,12 112,12 112,12 112,12 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-06-30 1 1 112,12 112,12 112,12 112,12 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-01 1 1 112,12 112,12 112,12 112,12 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-04 1 1 112,11 112,11 112,11 112,11 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-05 1 1 112,1 112,1 112,1 112,1 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-06 1 1 112,11 112,11 112,11 112,11 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-07 1 1 112,14 112,14 112,14 112,14 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-08 1 1 112,15 112,15 112,15 112,15 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-11 1 1 112,14 112,14 112,14 112,14 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-12 1 1 112,14 112,14 112,14 112,14 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-13 1 1 112,13 112,13 112,13 112,13 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-14 1 1 112,13 112,13 112,13 112,13 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-15 1 1 112,11 112,11 112,11 112,11 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-18 1 1 112,14 112,14 112,14 112,14 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-19 1 1 112,14 112,14 112,14 112,14 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-20 1 1 112,14 112,14 112,14 112,14 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-21 1 1 112,16 112,16 112,16 112,16 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-22 1 1 112,16 112,16 112,16 112,16 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-25 1 1 112,18 112,18 112,18 112,18 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-26 1 1 112,18 112,18 112,18 112,18 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-27 1 1 112,18 112,18 112,18 112,18 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-28 1 1 112,17 112,17 112,17 112,17 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-07-29 1 1 112,13 112,13 112,13 112,13 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-01 1 1 112,11 112,11 112,11 112,11 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-02 1 1 112,09 112,09 112,09 112,09 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-03 1 1 112,08 112,08 112,08 112,08 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-04 1 1 112,09 112,09 112,09 112,09 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-05 1 1 112,08 112,08 112,08 112,08 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-08 1 1 112,08 112,08 112,08 112,08 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-09 1 1 112,09 112,09 112,09 112,09 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-10 1 1 112,11 112,11 112,11 112,11 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-11 1 1 112,12 112,12 112,12 112,12 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-12 1 1 112,13 112,13 112,13 112,13 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-16 1 1 112,15 112,15 112,15 112,15 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-17 1 1 112,16 112,16 112,16 112,16 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-18 1 1 112,15 112,15 112,15 112,15 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-19 1 1 112,15 112,15 112,15 112,15 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-22 1 1 112,16 112,16 112,16 112,16 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-23 1 1 112,17 112,17 112,17 112,17 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-24 1 1 112,17 112,17 112,17 112,17 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-25 1 1 112,17 112,17 112,17 112,17 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-26 1 1 112,17 112,17 112,17 112,17 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-29 1 1 112,16 112,16 112,16 112,16 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-30 1 1 112,16 112,16 112,16 112,16 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-08-31 1 1 112,17 112,17 112,17 112,17 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-01 1 1 112,2 112,2 112,2 112,2 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-02 1 1 112,23 112,23 112,23 112,23 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-05 1 1 112,26 112,26 112,26 112,26 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-06 1 1 112,25 112,25 112,25 112,25 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-07 1 1 112,26 112,26 112,26 112,26 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-08 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-09 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-12 1 1 112,24 112,24 112,24 112,24 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-13 1 1 112,25 112,25 112,25 112,25 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-14 1 1 112,25 112,25 112,25 112,25 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-15 1 1 112,25 112,25 112,25 112,25 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-16 1 1 112,24 112,24 112,24 112,24 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-19 1 1 112,26 112,26 112,26 112,26 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-20 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-21 1 1 112,3 112,3 112,3 112,3 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-22 1 1 112,31 112,31 112,31 112,31 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-23 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-26 1 1 112,25 112,25 112,25 112,25 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-27 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-28 1 1 112,26 112,26 112,26 112,26 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-29 1 1 112,21 112,21 112,21 112,21 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-09-30 1 1 112,21 112,21 112,21 112,21 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-03 1 1 112,2 112,2 112,2 112,2 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-04 1 1 112,22 112,22 112,22 112,22 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-05 1 1 112,23 112,23 112,23 112,23 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-06 1 1 112,24 112,24 112,24 112,24 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-07 1 1 112,22 112,22 112,22 112,22 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-10 1 1 112,23 112,23 112,23 112,23 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-11 1 1 112,22 112,22 112,22 112,22 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-12 1 1 112,22 112,22 112,22 112,22 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-13 1 1 112,25 112,25 112,25 112,25 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-14 1 1 112,26 112,26 112,26 112,26 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-17 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-18 1 1 112,28 112,28 112,28 112,28 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-19 1 1 112,31 112,31 112,31 112,31 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-20 1 1 112,31 112,31 112,31 112,31 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-21 1 1 112,34 112,34 112,34 112,34 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-24 1 1 112,35 112,35 112,35 112,35 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-25 1 1 112,32 112,32 112,32 112,32 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-26 1 1 112,29 112,29 112,29 112,29 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-27 1 1 112,29 112,29 112,29 112,29 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-28 1 1 112,28 112,28 112,28 112,28 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-10-31 1 1 112,29 112,29 112,29 112,29 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-02 1 1 112,25 112,25 112,25 112,25 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-03 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-04 1 1 112,24 112,24 112,24 112,24 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-07 1 1 112,22 112,22 112,22 112,22 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-08 1 1 112,23 112,23 112,23 112,23 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-09 1 1 112,21 112,21 112,21 112,21 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-10 1 1 112,24 112,24 112,24 112,24 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-11 1 1 112,25 112,25 112,25 112,25 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-14 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-15 1 1 112,26 112,26 112,26 112,26 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-16 1 1 112,29 112,29 112,29 112,29 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-17 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-18 1 1 112,23 112,23 112,23 112,23 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-21 1 1 112,26 112,26 112,26 112,26 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-22 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-23 1 1 112,28 112,28 112,28 112,28 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-24 1 1 112,32 112,32 112,32 112,32 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-25 1 1 112,28 112,28 112,28 112,28 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-28 1 1 112,28 112,28 112,28 112,28 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-29 1 1 112,29 112,29 112,29 112,29 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-11-30 1 1 112,28 112,28 112,28 112,28 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-01 1 1 112,3 112,3 112,3 112,3 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-02 1 1 112,24 112,24 112,24 112,24 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-05 1 1 112,22 112,22 112,22 112,22 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-06 1 1 112,2 112,2 112,2 112,2 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-07 1 1 112,23 112,23 112,23 112,23 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-08 1 1 112,2 112,2 112,2 112,2 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-12 1 1 112,22 112,22 112,22 112,22 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-13 1 1 112,24 112,24 112,24 112,24 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-14 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-15 1 1 112,25 112,25 112,25 112,25 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-16 1 1 112,24 112,24 112,24 112,24 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-19 1 1 112,28 112,28 112,28 112,28 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-20 1 1 112,28 112,28 112,28 112,28 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-21 1 1 112,28 112,28 112,28 112,28 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-22 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-23 1 1 112,27 112,27 112,27 112,27 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-27 1 1 112,3 112,3 112,3 112,3 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-28 1 1 112,31 112,31 112,31 112,31 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-29 1 1 112,3 112,3 112,3 112,3 815894 Carnegie Fund Management Company S A Carnegie Fund - Svensk kort ränte Sub-Fund SEK 2005-12-30 1 1 112,31 112,31 112,31 112,31 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-03 1 1 30,97 30,97 30,97 30,97 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-04 1 1 30,8 30,8 30,8 30,8 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-05 1 1 30,33 30,33 30,33 30,33 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-07 1 1 30,14 30,14 30,14 30,14 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-10 1 1 30,12 30,12 30,12 30,12 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-11 1 1 29,71 29,71 29,71 29,71 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-12 1 1 29,33 29,33 29,33 29,33 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-13 1 1 29,84 29,84 29,84 29,84 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-14 1 1 29,76 29,76 29,76 29,76 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-17 1 1 29,95 29,95 29,95 29,95 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-18 1 1 29,81 29,81 29,81 29,81 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-19 1 1 29,9 29,9 29,9 29,9 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-20 1 1 30,07 30,07 30,07 30,07 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-21 1 1 30,27 30,27 30,27 30,27 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-24 1 1 29,9 29,9 29,9 29,9 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-25 1 1 29,94 29,94 29,94 29,94 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-26 1 1 30,17 30,17 30,17 30,17 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-27 1 1 30,14 30,14 30,14 30,14 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-28 1 1 30,47 30,47 30,47 30,47 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-01-31 1 1 30,59 30,59 30,59 30,59 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-01 1 1 30,73 30,73 30,73 30,73 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-02 1 1 30,59 30,59 30,59 30,59 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-03 1 1 30,67 30,67 30,67 30,67 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-04 1 1 30,85 30,85 30,85 30,85 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-07 1 1 31,32 31,32 31,32 31,32 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-08 1 1 31,53 31,53 31,53 31,53 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-09 1 1 31,28 31,28 31,28 31,28 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-10 1 1 31,1 31,1 31,1 31,1 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-11 1 1 30,84 30,84 30,84 30,84 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-14 1 1 31,08 31,08 31,08 31,08 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-15 1 1 31,23 31,23 31,23 31,23 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-16 1 1 30,95 30,95 30,95 30,95 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-17 1 1 30,95 30,95 30,95 30,95 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-18 1 1 30,93 30,93 30,93 30,93 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-21 1 1 31,07 31,07 31,07 31,07 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-22 1 1 30,47 30,47 30,47 30,47 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-23 1 1 30,11 30,11 30,11 30,11 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-24 1 1 29,67 29,67 29,67 29,67 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-25 1 1 30,04 30,04 30,04 30,04 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-02-28 1 1 30,07 30,07 30,07 30,07 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-01 1 1 30,04 30,04 30,04 30,04 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-02 1 1 30,5 30,5 30,5 30,5 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-03 1 1 30,51 30,51 30,51 30,51 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-04 1 1 30,23 30,23 30,23 30,23 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-07 1 1 30,08 30,08 30,08 30,08 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-08 1 1 29,84 29,84 29,84 29,84 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-09 1 1 29,51 29,51 29,51 29,51 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-10 1 1 29,3 29,3 29,3 29,3 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-11 1 1 29,2 29,2 29,2 29,2 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-14 1 1 29,26 29,26 29,26 29,26 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-15 1 1 29,46 29,46 29,46 29,46 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-16 1 1 28,91 28,91 28,91 28,91 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-17 1 1 29,04 29,04 29,04 29,04 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-18 1 1 28,99 28,99 28,99 28,99 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-21 1 1 29,16 29,16 29,16 29,16 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-22 1 1 29,24 29,24 29,24 29,24 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-23 1 1 29,19 29,19 29,19 29,19 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-24 1 1 29,33 29,33 29,33 29,33 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-29 1 1 29,31 29,31 29,31 29,31 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-30 1 1 28,95 28,95 28,95 28,95 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-03-31 1 1 29,2 29,2 29,2 29,2 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-01 1 1 30,05 30,05 30,05 30,05 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-04 1 1 29,65 29,65 29,65 29,65 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-05 1 1 30,38 30,38 30,38 30,38 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-06 1 1 29,95 29,95 29,95 29,95 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-07 1 1 29,38 29,38 29,38 29,38 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-08 1 1 29,88 29,88 29,88 29,88 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-11 1 1 29,21 29,21 29,21 29,21 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-12 1 1 28,72 28,72 28,72 28,72 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-13 1 1 29,09 29,09 29,09 29,09 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-14 1 1 28,89 28,89 28,89 28,89 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-15 1 1 27,81 27,81 27,81 27,81 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-18 1 1 27,29 27,29 27,29 27,29 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-19 1 1 27,49 27,49 27,49 27,49 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-20 1 1 27,74 27,74 27,74 27,74 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-21 1 1 27,93 27,93 27,93 27,93 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-22 1 1 27,97 27,97 27,97 27,97 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-25 1 1 27,8 27,8 27,8 27,8 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-26 1 1 27,7 27,7 27,7 27,7 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-27 1 1 26,89 26,89 26,89 26,89 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-28 1 1 26,73 26,73 26,73 26,73 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-04-29 1 1 26,45 26,45 26,45 26,45 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-02 1 1 27,06 27,06 27,06 27,06 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-03 1 1 27,21 27,21 27,21 27,21 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-04 1 1 26,42 26,42 26,42 26,42 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-06 1 1 27,22 27,22 27,22 27,22 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-09 1 1 27,16 27,16 27,16 27,16 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-10 1 1 27,07 27,07 27,07 27,07 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-11 1 1 26,63 26,63 26,63 26,63 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-12 1 1 26,71 26,71 26,71 26,71 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-13 1 1 26,53 26,53 26,53 26,53 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-17 1 1 27,17 27,17 27,17 27,17 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-18 1 1 27,36 27,36 27,36 27,36 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-19 1 1 27,89 27,89 27,89 27,89 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-20 1 1 28,18 28,18 28,18 28,18 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-23 1 1 28,65 28,65 28,65 28,65 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-24 1 1 28,66 28,66 28,66 28,66 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-25 1 1 28,72 28,72 28,72 28,72 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-26 1 1 29,36 29,36 29,36 29,36 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-27 1 1 29,14 29,14 29,14 29,14 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-30 1 1 29,02 29,02 29,02 29,02 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-05-31 1 1 29,01 29,01 29,01 29,01 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-01 1 1 29,43 29,43 29,43 29,43 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-02 1 1 29,92 29,92 29,92 29,92 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-03 1 1 29,7 29,7 29,7 29,7 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-07 1 1 29,71 29,71 29,71 29,71 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-08 1 1 29,7 29,7 29,7 29,7 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-09 1 1 29,53 29,53 29,53 29,53 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-10 1 1 29,98 29,98 29,98 29,98 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-13 1 1 30,26 30,26 30,26 30,26 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-14 1 1 30,54 30,54 30,54 30,54 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-15 1 1 30,5 30,5 30,5 30,5 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-16 1 1 30,42 30,42 30,42 30,42 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-17 1 1 30,19 30,19 30,19 30,19 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-20 1 1 30,29 30,29 30,29 30,29 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-21 1 1 30,3 30,3 30,3 30,3 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-22 1 1 30,39 30,39 30,39 30,39 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-27 1 1 29,65 29,65 29,65 29,65 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-28 1 1 29,96 29,96 29,96 29,96 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-29 1 1 30,21 30,21 30,21 30,21 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-06-30 1 1 29,9 29,9 29,9 29,9 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-01 1 1 30,33 30,33 30,33 30,33 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-04 1 1 30,59 30,59 30,59 30,59 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-05 1 1 30,37 30,37 30,37 30,37 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-06 1 1 30,31 30,31 30,31 30,31 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-07 1 1 29,97 29,97 29,97 29,97 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-08 1 1 30,27 30,27 30,27 30,27 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-11 1 1 30,63 30,63 30,63 30,63 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-12 1 1 30,39 30,39 30,39 30,39 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-13 1 1 30,28 30,28 30,28 30,28 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-14 1 1 30,39 30,39 30,39 30,39 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-15 1 1 30,33 30,33 30,33 30,33 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-18 1 1 30,31 30,31 30,31 30,31 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-19 1 1 30,9 30,9 30,9 30,9 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-20 1 1 30,62 30,62 30,62 30,62 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-21 1 1 30,49 30,49 30,49 30,49 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-22 1 1 30,4 30,4 30,4 30,4 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-25 1 1 30,88 30,88 30,88 30,88 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-26 1 1 31,01 31,01 31,01 31,01 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-27 1 1 30,7 30,7 30,7 30,7 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-28 1 1 30,67 30,67 30,67 30,67 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-07-29 1 1 30,24 30,24 30,24 30,24 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-01 1 1 30,09 30,09 30,09 30,09 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-02 1 1 30,12 30,12 30,12 30,12 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-03 1 1 30,02 30,02 30,02 30,02 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-04 1 1 29,81 29,81 29,81 29,81 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-05 1 1 30,15 30,15 30,15 30,15 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-08 1 1 29,77 29,77 29,77 29,77 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-09 1 1 29,73 29,73 29,73 29,73 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-10 1 1 29,64 29,64 29,64 29,64 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-11 1 1 29,17 29,17 29,17 29,17 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-12 1 1 28,66 28,66 28,66 28,66 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-16 1 1 28,41 28,41 28,41 28,41 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-17 1 1 28,35 28,35 28,35 28,35 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-18 1 1 28,53 28,53 28,53 28,53 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-19 1 1 28,63 28,63 28,63 28,63 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-22 1 1 28,74 28,74 28,74 28,74 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-23 1 1 28,34 28,34 28,34 28,34 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-24 1 1 28,01 28,01 28,01 28,01 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-25 1 1 27,93 27,93 27,93 27,93 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-26 1 1 28,11 28,11 28,11 28,11 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-29 1 1 28,09 28,09 28,09 28,09 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-30 1 1 28,11 28,11 28,11 28,11 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-08-31 1 1 28,27 28,27 28,27 28,27 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-01 1 1 28,48 28,48 28,48 28,48 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-02 1 1 28,6 28,6 28,6 28,6 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-05 1 1 28,53 28,53 28,53 28,53 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-06 1 1 28,66 28,66 28,66 28,66 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-07 1 1 28,77 28,77 28,77 28,77 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-08 1 1 28,72 28,72 28,72 28,72 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-09 1 1 29,09 29,09 29,09 29,09 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-12 1 1 29,54 29,54 29,54 29,54 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-13 1 1 29,92 29,92 29,92 29,92 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-14 1 1 29,89 29,89 29,89 29,89 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-15 1 1 29,67 29,67 29,67 29,67 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-16 1 1 29,51 29,51 29,51 29,51 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-19 1 1 29,21 29,21 29,21 29,21 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-20 1 1 28,58 28,58 28,58 28,58 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-21 1 1 28,02 28,02 28,02 28,02 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-22 1 1 27,67 27,67 27,67 27,67 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-23 1 1 27,91 27,91 27,91 27,91 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-26 1 1 28,11 28,11 28,11 28,11 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-27 1 1 28,65 28,65 28,65 28,65 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-28 1 1 28,43 28,43 28,43 28,43 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-29 1 1 27,94 27,94 27,94 27,94 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-09-30 1 1 28,05 28,05 28,05 28,05 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-03 1 1 28,23 28,23 28,23 28,23 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-04 1 1 28,02 28,02 28,02 28,02 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-05 1 1 27,82 27,82 27,82 27,82 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-06 1 1 26,73 26,73 26,73 26,73 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-07 1 1 27,01 27,01 27,01 27,01 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-10 1 1 27,3 27,3 27,3 27,3 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-11 1 1 27,34 27,34 27,34 27,34 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-12 1 1 27,02 27,02 27,02 27,02 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-13 1 1 26,65 26,65 26,65 26,65 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-14 1 1 26,91 26,91 26,91 26,91 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-17 1 1 27,17 27,17 27,17 27,17 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-18 1 1 27,33 27,33 27,33 27,33 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-19 1 1 26,95 26,95 26,95 26,95 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-20 1 1 26,91 26,91 26,91 26,91 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-21 1 1 26,75 26,75 26,75 26,75 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-24 1 1 27,01 27,01 27,01 27,01 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-25 1 1 26,41 26,41 26,41 26,41 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-26 1 1 26,8 26,8 26,8 26,8 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-27 1 1 26,24 26,24 26,24 26,24 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-28 1 1 26,49 26,49 26,49 26,49 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-10-31 1 1 26,8 26,8 26,8 26,8 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-02 1 1 26,92 26,92 26,92 26,92 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-03 1 1 27,34 27,34 27,34 27,34 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-04 1 1 27,42 27,42 27,42 27,42 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-07 1 1 27,65 27,65 27,65 27,65 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-08 1 1 27,57 27,57 27,57 27,57 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-09 1 1 27,57 27,57 27,57 27,57 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-10 1 1 27,33 27,33 27,33 27,33 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-11 1 1 27,14 27,14 27,14 27,14 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-14 1 1 27,14 27,14 27,14 27,14 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-15 1 1 27,32 27,32 27,32 27,32 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-16 1 1 27,32 27,32 27,32 27,32 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-17 1 1 27,35 27,35 27,35 27,35 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-18 1 1 27,45 27,45 27,45 27,45 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-21 1 1 27,16 27,16 27,16 27,16 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-22 1 1 27,53 27,53 27,53 27,53 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-23 1 1 27,37 27,37 27,37 27,37 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-24 1 1 27,48 27,48 27,48 27,48 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-25 1 1 27,53 27,53 27,53 27,53 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-28 1 1 27,63 27,63 27,63 27,63 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-29 1 1 27,73 27,73 27,73 27,73 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-11-30 1 1 27,6 27,6 27,6 27,6 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-01 1 1 27,92 27,92 27,92 27,92 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-02 1 1 28 28 28 28 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-05 1 1 27,65 27,65 27,65 27,65 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-06 1 1 27,56 27,56 27,56 27,56 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-07 1 1 27,63 27,63 27,63 27,63 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-08 1 1 27,45 27,45 27,45 27,45 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-12 1 1 27,29 27,29 27,29 27,29 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-13 1 1 27,21 27,21 27,21 27,21 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-14 1 1 27,09 27,09 27,09 27,09 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-15 1 1 27,15 27,15 27,15 27,15 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-16 1 1 27,15 27,15 27,15 27,15 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-19 1 1 26,98 26,98 26,98 26,98 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-20 1 1 26,8 26,8 26,8 26,8 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-21 1 1 27,24 27,24 27,24 27,24 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-22 1 1 27,26 27,26 27,26 27,26 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-23 1 1 27,51 27,51 27,51 27,51 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-27 1 1 27,48 27,48 27,48 27,48 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-28 1 1 27,02 27,02 27,02 27,02 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-29 1 1 27,21 27,21 27,21 27,21 370825 Carnegie Fund Management Company S A Carnegie Fund - Technology Sub-Fund SEK 2005-12-30 1 1 26,47 26,47 26,47 26,47 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-03 1 1 38,98 38,98 38,98 38,98 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-04 1 1 39,02 39,02 39,02 39,02 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-05 1 1 38,57 38,57 38,57 38,57 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-07 1 1 38,27 38,27 38,27 38,27 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-10 1 1 38,62 38,62 38,62 38,62 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-11 1 1 38,47 38,47 38,47 38,47 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-12 1 1 38,03 38,03 38,03 38,03 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-13 1 1 38,33 38,33 38,33 38,33 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-14 1 1 38,62 38,62 38,62 38,62 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-17 1 1 39 39 39 39 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-18 1 1 39,02 39,02 39,02 39,02 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-19 1 1 39,2 39,2 39,2 39,2 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-20 1 1 39,19 39,19 39,19 39,19 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-21 1 1 39,24 39,24 39,24 39,24 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-24 1 1 38,69 38,69 38,69 38,69 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-25 1 1 38,56 38,56 38,56 38,56 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-26 1 1 38,8 38,8 38,8 38,8 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-27 1 1 38,86 38,86 38,86 38,86 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-28 1 1 38,93 38,93 38,93 38,93 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-01-31 1 1 39,24 39,24 39,24 39,24 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-01 1 1 39,19 39,19 39,19 39,19 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-02 1 1 39,21 39,21 39,21 39,21 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-03 1 1 39,38 39,38 39,38 39,38 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-04 1 1 39,65 39,65 39,65 39,65 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-07 1 1 40,22 40,22 40,22 40,22 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-08 1 1 40,34 40,34 40,34 40,34 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-09 1 1 40,16 40,16 40,16 40,16 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-10 1 1 39,92 39,92 39,92 39,92 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-11 1 1 39,94 39,94 39,94 39,94 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-14 1 1 40,16 40,16 40,16 40,16 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-15 1 1 40,03 40,03 40,03 40,03 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-16 1 1 39,84 39,84 39,84 39,84 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-17 1 1 40,05 40,05 40,05 40,05 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-18 1 1 39,85 39,85 39,85 39,85 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-21 1 1 40 40 40 40 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-22 1 1 39,57 39,57 39,57 39,57 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-23 1 1 39,39 39,39 39,39 39,39 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-24 1 1 39,47 39,47 39,47 39,47 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-25 1 1 39,93 39,93 39,93 39,93 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-02-28 1 1 40,13 40,13 40,13 40,13 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-01 1 1 40,08 40,08 40,08 40,08 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-02 1 1 40,03 40,03 40,03 40,03 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-03 1 1 40,01 40,01 40,01 40,01 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-04 1 1 39,91 39,91 39,91 39,91 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-07 1 1 40,02 40,02 40,02 40,02 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-08 1 1 39,69 39,69 39,69 39,69 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-09 1 1 39,65 39,65 39,65 39,65 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-10 1 1 39,28 39,28 39,28 39,28 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-11 1 1 39,26 39,26 39,26 39,26 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-14 1 1 39,26 39,26 39,26 39,26 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-15 1 1 39,46 39,46 39,46 39,46 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-16 1 1 38,45 38,45 38,45 38,45 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-17 1 1 38,78 38,78 38,78 38,78 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-18 1 1 39,11 39,11 39,11 39,11 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-21 1 1 39,12 39,12 39,12 39,12 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-22 1 1 39,11 39,11 39,11 39,11 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-23 1 1 38,5 38,5 38,5 38,5 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-24 1 1 38,72 38,72 38,72 38,72 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-29 1 1 38,71 38,71 38,71 38,71 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-30 1 1 38,54 38,54 38,54 38,54 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-03-31 1 1 38,99 38,99 38,99 38,99 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-01 1 1 39,49 39,49 39,49 39,49 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-04 1 1 39,75 39,75 39,75 39,75 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-05 1 1 40,02 40,02 40,02 40,02 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-06 1 1 40,02 40,02 40,02 40,02 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-07 1 1 39,9 39,9 39,9 39,9 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-08 1 1 40,32 40,32 40,32 40,32 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-11 1 1 39,92 39,92 39,92 39,92 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-12 1 1 39,79 39,79 39,79 39,79 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-13 1 1 40,26 40,26 40,26 40,26 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-14 1 1 39,99 39,99 39,99 39,99 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-15 1 1 39,19 39,19 39,19 39,19 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-18 1 1 38,04 38,04 38,04 38,04 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-19 1 1 38,43 38,43 38,43 38,43 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-20 1 1 38,57 38,57 38,57 38,57 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-21 1 1 38,59 38,59 38,59 38,59 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-22 1 1 38,89 38,89 38,89 38,89 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-25 1 1 39,13 39,13 39,13 39,13 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-26 1 1 39,04 39,04 39,04 39,04 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-27 1 1 38,24 38,24 38,24 38,24 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-28 1 1 38,17 38,17 38,17 38,17 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-04-29 1 1 38,02 38,02 38,02 38,02 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-02 1 1 38,56 38,56 38,56 38,56 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-03 1 1 38,46 38,46 38,46 38,46 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-04 1 1 38,35 38,35 38,35 38,35 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-06 1 1 39,23 39,23 39,23 39,23 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-09 1 1 39,27 39,27 39,27 39,27 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-10 1 1 39,31 39,31 39,31 39,31 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-11 1 1 39,25 39,25 39,25 39,25 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-12 1 1 39,42 39,42 39,42 39,42 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-13 1 1 39,34 39,34 39,34 39,34 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-17 1 1 39,23 39,23 39,23 39,23 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-18 1 1 39,43 39,43 39,43 39,43 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-19 1 1 39,67 39,67 39,67 39,67 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-20 1 1 39,66 39,66 39,66 39,66 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-23 1 1 39,76 39,76 39,76 39,76 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-24 1 1 39,77 39,77 39,77 39,77 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-25 1 1 39,64 39,64 39,64 39,64 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-26 1 1 40,04 40,04 40,04 40,04 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-27 1 1 40,08 40,08 40,08 40,08 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-30 1 1 40,22 40,22 40,22 40,22 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-05-31 1 1 40,27 40,27 40,27 40,27 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-01 1 1 40,49 40,49 40,49 40,49 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-02 1 1 40,81 40,81 40,81 40,81 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-03 1 1 40,57 40,57 40,57 40,57 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-07 1 1 40,58 40,58 40,58 40,58 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-08 1 1 40,55 40,55 40,55 40,55 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-09 1 1 40,39 40,39 40,39 40,39 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-10 1 1 41,05 41,05 41,05 41,05 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-13 1 1 41,4 41,4 41,4 41,4 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-14 1 1 41,59 41,59 41,59 41,59 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-15 1 1 41,53 41,53 41,53 41,53 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-16 1 1 41,74 41,74 41,74 41,74 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-17 1 1 41,55 41,55 41,55 41,55 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-20 1 1 41,47 41,47 41,47 41,47 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-21 1 1 41,66 41,66 41,66 41,66 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-22 1 1 42 42 42 42 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-27 1 1 42,32 42,32 42,32 42,32 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-28 1 1 42,83 42,83 42,83 42,83 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-29 1 1 43,24 43,24 43,24 43,24 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-06-30 1 1 43,1 43,1 43,1 43,1 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-01 1 1 43,41 43,41 43,41 43,41 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-04 1 1 43,76 43,76 43,76 43,76 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-05 1 1 43,39 43,39 43,39 43,39 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-06 1 1 43,73 43,73 43,73 43,73 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-07 1 1 43,16 43,16 43,16 43,16 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-08 1 1 43,76 43,76 43,76 43,76 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-11 1 1 44,28 44,28 44,28 44,28 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-12 1 1 43,7 43,7 43,7 43,7 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-13 1 1 43,78 43,78 43,78 43,78 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-14 1 1 43,94 43,94 43,94 43,94 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-15 1 1 43,48 43,48 43,48 43,48 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-18 1 1 43,26 43,26 43,26 43,26 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-19 1 1 43,9 43,9 43,9 43,9 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-20 1 1 43,47 43,47 43,47 43,47 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-21 1 1 43,56 43,56 43,56 43,56 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-22 1 1 43,81 43,81 43,81 43,81 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-25 1 1 44,16 44,16 44,16 44,16 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-26 1 1 44,43 44,43 44,43 44,43 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-27 1 1 44,77 44,77 44,77 44,77 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-28 1 1 44,87 44,87 44,87 44,87 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-07-29 1 1 45,32 45,32 45,32 45,32 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-01 1 1 45,14 45,14 45,14 45,14 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-02 1 1 45,03 45,03 45,03 45,03 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-03 1 1 44,94 44,94 44,94 44,94 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-04 1 1 44,57 44,57 44,57 44,57 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-05 1 1 44,43 44,43 44,43 44,43 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-08 1 1 44,51 44,51 44,51 44,51 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-09 1 1 44,59 44,59 44,59 44,59 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-10 1 1 44,78 44,78 44,78 44,78 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-11 1 1 44,36 44,36 44,36 44,36 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-12 1 1 44,11 44,11 44,11 44,11 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-16 1 1 44,16 44,16 44,16 44,16 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-17 1 1 44,02 44,02 44,02 44,02 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-18 1 1 44,01 44,01 44,01 44,01 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-19 1 1 44,07 44,07 44,07 44,07 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-22 1 1 44,1 44,1 44,1 44,1 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-23 1 1 43,77 43,77 43,77 43,77 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-24 1 1 43,13 43,13 43,13 43,13 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-25 1 1 43,26 43,26 43,26 43,26 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-26 1 1 43,09 43,09 43,09 43,09 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-29 1 1 43,02 43,02 43,02 43,02 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-30 1 1 43,7 43,7 43,7 43,7 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-08-31 1 1 43,57 43,57 43,57 43,57 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-01 1 1 43,89 43,89 43,89 43,89 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-02 1 1 43,83 43,83 43,83 43,83 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-05 1 1 43,68 43,68 43,68 43,68 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-06 1 1 43,83 43,83 43,83 43,83 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-07 1 1 44,14 44,14 44,14 44,14 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-08 1 1 44,47 44,47 44,47 44,47 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-09 1 1 44,85 44,85 44,85 44,85 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-12 1 1 45,52 45,52 45,52 45,52 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-13 1 1 45,77 45,77 45,77 45,77 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-14 1 1 45,39 45,39 45,39 45,39 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-15 1 1 45,82 45,82 45,82 45,82 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-16 1 1 45,95 45,95 45,95 45,95 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-19 1 1 46,01 46,01 46,01 46,01 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-20 1 1 45,76 45,76 45,76 45,76 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-21 1 1 45,12 45,12 45,12 45,12 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-22 1 1 44,78 44,78 44,78 44,78 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-23 1 1 44,95 44,95 44,95 44,95 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-26 1 1 45,55 45,55 45,55 45,55 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-27 1 1 45,83 45,83 45,83 45,83 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-28 1 1 45,89 45,89 45,89 45,89 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-29 1 1 45,79 45,79 45,79 45,79 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-09-30 1 1 45,84 45,84 45,84 45,84 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-03 1 1 46,02 46,02 46,02 46,02 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-04 1 1 45,99 45,99 45,99 45,99 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-05 1 1 45,5 45,5 45,5 45,5 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-06 1 1 43,87 43,87 43,87 43,87 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-07 1 1 43,74 43,74 43,74 43,74 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-10 1 1 44,04 44,04 44,04 44,04 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-11 1 1 44,14 44,14 44,14 44,14 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-12 1 1 43,75 43,75 43,75 43,75 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-13 1 1 43,54 43,54 43,54 43,54 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-14 1 1 43,33 43,33 43,33 43,33 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-17 1 1 43,54 43,54 43,54 43,54 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-18 1 1 43,7 43,7 43,7 43,7 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-19 1 1 42,83 42,83 42,83 42,83 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-20 1 1 43,11 43,11 43,11 43,11 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-21 1 1 42,69 42,69 42,69 42,69 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-24 1 1 43,52 43,52 43,52 43,52 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-25 1 1 43,31 43,31 43,31 43,31 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-26 1 1 43,43 43,43 43,43 43,43 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-27 1 1 42,79 42,79 42,79 42,79 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-28 1 1 42,41 42,41 42,41 42,41 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-10-31 1 1 43,21 43,21 43,21 43,21 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-02 1 1 44,33 44,33 44,33 44,33 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-03 1 1 44,95 44,95 44,95 44,95 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-04 1 1 44,77 44,77 44,77 44,77 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-07 1 1 44,94 44,94 44,94 44,94 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-08 1 1 44,65 44,65 44,65 44,65 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-09 1 1 45,19 45,19 45,19 45,19 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-10 1 1 45,62 45,62 45,62 45,62 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-11 1 1 45,5 45,5 45,5 45,5 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-14 1 1 45,3 45,3 45,3 45,3 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-15 1 1 45,59 45,59 45,59 45,59 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-16 1 1 45,6 45,6 45,6 45,6 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-17 1 1 46,13 46,13 46,13 46,13 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-18 1 1 46,16 46,16 46,16 46,16 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-21 1 1 45,72 45,72 45,72 45,72 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-22 1 1 45,88 45,88 45,88 45,88 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-23 1 1 45,81 45,81 45,81 45,81 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-24 1 1 45,92 45,92 45,92 45,92 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-25 1 1 46,07 46,07 46,07 46,07 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-28 1 1 46,18 46,18 46,18 46,18 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-29 1 1 45,96 45,96 45,96 45,96 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-11-30 1 1 46,06 46,06 46,06 46,06 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-01 1 1 46,53 46,53 46,53 46,53 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-02 1 1 46,58 46,58 46,58 46,58 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-05 1 1 46,34 46,34 46,34 46,34 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-06 1 1 46,12 46,12 46,12 46,12 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-07 1 1 46,62 46,62 46,62 46,62 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-08 1 1 46,31 46,31 46,31 46,31 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-12 1 1 46,36 46,36 46,36 46,36 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-13 1 1 46,29 46,29 46,29 46,29 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-14 1 1 46,26 46,26 46,26 46,26 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-15 1 1 46,28 46,28 46,28 46,28 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-16 1 1 46,45 46,45 46,45 46,45 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-19 1 1 46,5 46,5 46,5 46,5 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-20 1 1 46,45 46,45 46,45 46,45 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-21 1 1 47,31 47,31 47,31 47,31 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-22 1 1 47,71 47,71 47,71 47,71 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-23 1 1 47,65 47,65 47,65 47,65 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-27 1 1 47,75 47,75 47,75 47,75 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-28 1 1 47,26 47,26 47,26 47,26 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-29 1 1 47,74 47,74 47,74 47,74 277327 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Emerging Growth Sub-Fund SEK 2005-12-30 1 1 47,4 47,4 47,4 47,4 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-03 1 1 334,32 334,32 334,32 334,32 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-04 1 1 334,31 334,31 334,31 334,31 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-05 1 1 333,36 333,36 333,36 333,36 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-07 1 1 333,46 333,46 333,46 333,46 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-10 1 1 335,26 335,26 335,26 335,26 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-11 1 1 333,44 333,44 333,44 333,44 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-12 1 1 331,93 331,93 331,93 331,93 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-13 1 1 332,1 332,1 332,1 332,1 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-14 1 1 336,48 336,48 336,48 336,48 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-17 1 1 339,58 339,58 339,58 339,58 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-18 1 1 339,36 339,36 339,36 339,36 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-19 1 1 340,78 340,78 340,78 340,78 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-20 1 1 338,98 338,98 338,98 338,98 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-21 1 1 339,04 339,04 339,04 339,04 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-24 1 1 339,08 339,08 339,08 339,08 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-25 1 1 341,38 341,38 341,38 341,38 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-26 1 1 343,47 343,47 343,47 343,47 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-27 1 1 342,11 342,11 342,11 342,11 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-28 1 1 342,34 342,34 342,34 342,34 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-01-31 1 1 344,84 344,84 344,84 344,84 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-01 1 1 345,45 345,45 345,45 345,45 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-02 1 1 346,64 346,64 346,64 346,64 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-03 1 1 346,4 346,4 346,4 346,4 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-04 1 1 349,36 349,36 349,36 349,36 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-07 1 1 353,93 353,93 353,93 353,93 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-08 1 1 356,29 356,29 356,29 356,29 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-09 1 1 354,96 354,96 354,96 354,96 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-10 1 1 354,03 354,03 354,03 354,03 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-11 1 1 355,59 355,59 355,59 355,59 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-14 1 1 356,85 356,85 356,85 356,85 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-15 1 1 356,86 356,86 356,86 356,86 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-16 1 1 355,07 355,07 355,07 355,07 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-17 1 1 356,6 356,6 356,6 356,6 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-18 1 1 356,26 356,26 356,26 356,26 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-21 1 1 356,59 356,59 356,59 356,59 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-22 1 1 353,16 353,16 353,16 353,16 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-23 1 1 351,54 351,54 351,54 351,54 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-24 1 1 352,25 352,25 352,25 352,25 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-25 1 1 355,15 355,15 355,15 355,15 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-02-28 1 1 357,81 357,81 357,81 357,81 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-01 1 1 357,24 357,24 357,24 357,24 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-02 1 1 356,83 356,83 356,83 356,83 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-03 1 1 356,9 356,9 356,9 356,9 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-04 1 1 356,14 356,14 356,14 356,14 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-07 1 1 357,15 357,15 357,15 357,15 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-08 1 1 355,06 355,06 355,06 355,06 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-09 1 1 354,22 354,22 354,22 354,22 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-10 1 1 351,28 351,28 351,28 351,28 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-11 1 1 351,65 351,65 351,65 351,65 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-14 1 1 349,71 349,71 349,71 349,71 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-15 1 1 350,62 350,62 350,62 350,62 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-16 1 1 346,3 346,3 346,3 346,3 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-17 1 1 347,59 347,59 347,59 347,59 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-18 1 1 350,25 350,25 350,25 350,25 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-21 1 1 350,74 350,74 350,74 350,74 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-22 1 1 350,27 350,27 350,27 350,27 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-23 1 1 348,52 348,52 348,52 348,52 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-24 1 1 349,05 349,05 349,05 349,05 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-29 1 1 349,69 349,69 349,69 349,69 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-30 1 1 349,26 349,26 349,26 349,26 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-03-31 1 1 352,57 352,57 352,57 352,57 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-01 1 1 356,58 356,58 356,58 356,58 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-04 1 1 357,24 357,24 357,24 357,24 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-05 1 1 359 359 359 359 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-06 1 1 359,75 359,75 359,75 359,75 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-07 1 1 359,31 359,31 359,31 359,31 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-08 1 1 361,41 361,41 361,41 361,41 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-11 1 1 357,56 357,56 357,56 357,56 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-12 1 1 358,31 358,31 358,31 358,31 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-13 1 1 360,7 360,7 360,7 360,7 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-14 1 1 360,59 360,59 360,59 360,59 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-15 1 1 353,93 353,93 353,93 353,93 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-18 1 1 345,86 345,86 345,86 345,86 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-19 1 1 349,27 349,27 349,27 349,27 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-20 1 1 349,4 349,4 349,4 349,4 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-21 1 1 350,75 350,75 350,75 350,75 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-22 1 1 353,02 353,02 353,02 353,02 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-25 1 1 354,57 354,57 354,57 354,57 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-26 1 1 353,09 353,09 353,09 353,09 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-27 1 1 351,69 351,69 351,69 351,69 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-28 1 1 352,16 352,16 352,16 352,16 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-04-29 1 1 353,77 353,77 353,77 353,77 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-02 1 1 357,8 357,8 357,8 357,8 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-03 1 1 357,96 357,96 357,96 357,96 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-04 1 1 357,72 357,72 357,72 357,72 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-06 1 1 364,13 364,13 364,13 364,13 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-09 1 1 363,81 363,81 363,81 363,81 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-10 1 1 363,62 363,62 363,62 363,62 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-11 1 1 363,02 363,02 363,02 363,02 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-12 1 1 365,02 365,02 365,02 365,02 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-13 1 1 363,45 363,45 363,45 363,45 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-17 1 1 361,83 361,83 361,83 361,83 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-18 1 1 365,64 365,64 365,64 365,64 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-19 1 1 367,43 367,43 367,43 367,43 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-20 1 1 368,02 368,02 368,02 368,02 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-23 1 1 367,71 367,71 367,71 367,71 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-24 1 1 367,86 367,86 367,86 367,86 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-25 1 1 367,39 367,39 367,39 367,39 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-26 1 1 371,64 371,64 371,64 371,64 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-27 1 1 373,41 373,41 373,41 373,41 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-30 1 1 376,15 376,15 376,15 376,15 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-05-31 1 1 376,93 376,93 376,93 376,93 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-01 1 1 379,17 379,17 379,17 379,17 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-02 1 1 382,64 382,64 382,64 382,64 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-03 1 1 382,48 382,48 382,48 382,48 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-07 1 1 384,9 384,9 384,9 384,9 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-08 1 1 386,2 386,2 386,2 386,2 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-09 1 1 386,04 386,04 386,04 386,04 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-10 1 1 390,93 390,93 390,93 390,93 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-13 1 1 392,82 392,82 392,82 392,82 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-14 1 1 394,91 394,91 394,91 394,91 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-15 1 1 393,66 393,66 393,66 393,66 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-16 1 1 394,69 394,69 394,69 394,69 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-17 1 1 395,34 395,34 395,34 395,34 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-20 1 1 394,94 394,94 394,94 394,94 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-21 1 1 396,05 396,05 396,05 396,05 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-22 1 1 399,08 399,08 399,08 399,08 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-27 1 1 400,22 400,22 400,22 400,22 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-28 1 1 403,8 403,8 403,8 403,8 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-29 1 1 406,34 406,34 406,34 406,34 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-06-30 1 1 406,49 406,49 406,49 406,49 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-01 1 1 409,21 409,21 409,21 409,21 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-04 1 1 412,7 412,7 412,7 412,7 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-05 1 1 409,76 409,76 409,76 409,76 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-06 1 1 410,86 410,86 410,86 410,86 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-07 1 1 406,81 406,81 406,81 406,81 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-08 1 1 410,48 410,48 410,48 410,48 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-11 1 1 414,44 414,44 414,44 414,44 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-12 1 1 410,49 410,49 410,49 410,49 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-13 1 1 409,35 409,35 409,35 409,35 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-14 1 1 411,79 411,79 411,79 411,79 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-15 1 1 409,79 409,79 409,79 409,79 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-18 1 1 408,84 408,84 408,84 408,84 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-19 1 1 410,69 410,69 410,69 410,69 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-20 1 1 410,74 410,74 410,74 410,74 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-21 1 1 412,89 412,89 412,89 412,89 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-22 1 1 411,51 411,51 411,51 411,51 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-25 1 1 413,87 413,87 413,87 413,87 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-26 1 1 416,69 416,69 416,69 416,69 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-27 1 1 419,4 419,4 419,4 419,4 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-28 1 1 419,02 419,02 419,02 419,02 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-07-29 1 1 422,84 422,84 422,84 422,84 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-01 1 1 421,17 421,17 421,17 421,17 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-02 1 1 422,04 422,04 422,04 422,04 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-03 1 1 421,48 421,48 421,48 421,48 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-04 1 1 416,73 416,73 416,73 416,73 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-05 1 1 414,33 414,33 414,33 414,33 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-08 1 1 415,23 415,23 415,23 415,23 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-09 1 1 416,41 416,41 416,41 416,41 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-10 1 1 422,03 422,03 422,03 422,03 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-11 1 1 420,97 420,97 420,97 420,97 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-12 1 1 419,18 419,18 419,18 419,18 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-16 1 1 421,98 421,98 421,98 421,98 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-17 1 1 419,7 419,7 419,7 419,7 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-18 1 1 418,46 418,46 418,46 418,46 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-19 1 1 422,38 422,38 422,38 422,38 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-22 1 1 426,46 426,46 426,46 426,46 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-23 1 1 422,9 422,9 422,9 422,9 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-24 1 1 420,06 420,06 420,06 420,06 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-25 1 1 419,89 419,89 419,89 419,89 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-26 1 1 417,37 417,37 417,37 417,37 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-29 1 1 416,48 416,48 416,48 416,48 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-30 1 1 420,94 420,94 420,94 420,94 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-08-31 1 1 422,07 422,07 422,07 422,07 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-01 1 1 424,96 424,96 424,96 424,96 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-02 1 1 421,94 421,94 421,94 421,94 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-05 1 1 422,64 422,64 422,64 422,64 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-06 1 1 424,36 424,36 424,36 424,36 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-07 1 1 426,66 426,66 426,66 426,66 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-08 1 1 427,97 427,97 427,97 427,97 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-09 1 1 431,21 431,21 431,21 431,21 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-12 1 1 434,66 434,66 434,66 434,66 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-13 1 1 434,06 434,06 434,06 434,06 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-14 1 1 434,42 434,42 434,42 434,42 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-15 1 1 438,94 438,94 438,94 438,94 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-16 1 1 440,6 440,6 440,6 440,6 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-19 1 1 443,84 443,84 443,84 443,84 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-20 1 1 444,58 444,58 444,58 444,58 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-21 1 1 442,35 442,35 442,35 442,35 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-22 1 1 441,51 441,51 441,51 441,51 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-23 1 1 442,56 442,56 442,56 442,56 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-26 1 1 446,19 446,19 446,19 446,19 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-27 1 1 449,21 449,21 449,21 449,21 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-28 1 1 454,97 454,97 454,97 454,97 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-29 1 1 454,47 454,47 454,47 454,47 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-09-30 1 1 456,1 456,1 456,1 456,1 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-03 1 1 459,3 459,3 459,3 459,3 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-04 1 1 458,53 458,53 458,53 458,53 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-05 1 1 454,35 454,35 454,35 454,35 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-06 1 1 440,06 440,06 440,06 440,06 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-07 1 1 439,84 439,84 439,84 439,84 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-10 1 1 441,36 441,36 441,36 441,36 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-11 1 1 446,77 446,77 446,77 446,77 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-12 1 1 444,49 444,49 444,49 444,49 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-13 1 1 441,1 441,1 441,1 441,1 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-14 1 1 441,49 441,49 441,49 441,49 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-17 1 1 443,23 443,23 443,23 443,23 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-18 1 1 444,49 444,49 444,49 444,49 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-19 1 1 437,69 437,69 437,69 437,69 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-20 1 1 443,98 443,98 443,98 443,98 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-21 1 1 440,54 440,54 440,54 440,54 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-24 1 1 446,46 446,46 446,46 446,46 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-25 1 1 444,08 444,08 444,08 444,08 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-26 1 1 444,53 444,53 444,53 444,53 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-27 1 1 443,89 443,89 443,89 443,89 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-28 1 1 443,03 443,03 443,03 443,03 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-10-31 1 1 454,34 454,34 454,34 454,34 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-02 1 1 461,74 461,74 461,74 461,74 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-03 1 1 468,56 468,56 468,56 468,56 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-04 1 1 469,85 469,85 469,85 469,85 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-07 1 1 471,98 471,98 471,98 471,98 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-08 1 1 468,77 468,77 468,77 468,77 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-09 1 1 470,89 470,89 470,89 470,89 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-10 1 1 472,29 472,29 472,29 472,29 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-11 1 1 472,37 472,37 472,37 472,37 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-14 1 1 472,43 472,43 472,43 472,43 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-15 1 1 474,41 474,41 474,41 474,41 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-16 1 1 473,29 473,29 473,29 473,29 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-17 1 1 476,02 476,02 476,02 476,02 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-18 1 1 473,87 473,87 473,87 473,87 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-21 1 1 471,6 471,6 471,6 471,6 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-22 1 1 473,9 473,9 473,9 473,9 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-23 1 1 472,02 472,02 472,02 472,02 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-24 1 1 473,19 473,19 473,19 473,19 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-25 1 1 472,65 472,65 472,65 472,65 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-28 1 1 471,18 471,18 471,18 471,18 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-29 1 1 472,1 472,1 472,1 472,1 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-11-30 1 1 469,39 469,39 469,39 469,39 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-01 1 1 475,2 475,2 475,2 475,2 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-02 1 1 476,26 476,26 476,26 476,26 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-05 1 1 476,22 476,22 476,22 476,22 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-06 1 1 475,18 475,18 475,18 475,18 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-07 1 1 480,65 480,65 480,65 480,65 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-08 1 1 475,11 475,11 475,11 475,11 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-12 1 1 474,75 474,75 474,75 474,75 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-13 1 1 474,58 474,58 474,58 474,58 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-14 1 1 474,22 474,22 474,22 474,22 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-15 1 1 475,95 475,95 475,95 475,95 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-16 1 1 477,29 477,29 477,29 477,29 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-19 1 1 476,74 476,74 476,74 476,74 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-20 1 1 476,91 476,91 476,91 476,91 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-21 1 1 483,49 483,49 483,49 483,49 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-22 1 1 484,95 484,95 484,95 484,95 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-23 1 1 482,9 482,9 482,9 482,9 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-27 1 1 483,65 483,65 483,65 483,65 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-28 1 1 479,78 479,78 479,78 479,78 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-29 1 1 482,84 482,84 482,84 482,84 384818 Carnegie Fund Management Company S A Carnegie Fund - WorldWide Sub-Fund SEK 2005-12-30 1 1 479,62 479,62 479,62 479,62 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-03 1 1 219,42 219,42 219,42 219,42 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-04 1 1 219,46 219,46 219,46 219,46 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-05 1 1 219,06 219,06 219,06 219,06 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-07 1 1 218,87 218,87 218,87 218,87 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-10 1 1 220,26 220,26 220,26 220,26 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-11 1 1 219,87 219,87 219,87 219,87 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-12 1 1 218,08 218,08 218,08 218,08 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-13 1 1 218,84 218,84 218,84 218,84 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-14 1 1 218,94 218,94 218,94 218,94 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-17 1 1 220,76 220,76 220,76 220,76 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-18 1 1 220,72 220,72 220,72 220,72 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-19 1 1 221,86 221,86 221,86 221,86 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-20 1 1 220,66 220,66 220,66 220,66 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-21 1 1 220,99 220,99 220,99 220,99 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-24 1 1 220,08 220,08 220,08 220,08 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-25 1 1 222,54 222,54 222,54 222,54 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-26 1 1 223,92 223,92 223,92 223,92 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-27 1 1 224,18 224,18 224,18 224,18 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-28 1 1 224,57 224,57 224,57 224,57 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-01-31 1 1 226,1 226,1 226,1 226,1 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-01 1 1 227,52 227,52 227,52 227,52 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-02 1 1 229,22 229,22 229,22 229,22 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-03 1 1 228,8 228,8 228,8 228,8 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-04 1 1 230,23 230,23 230,23 230,23 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-07 1 1 232,65 232,65 232,65 232,65 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-08 1 1 232,95 232,95 232,95 232,95 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-09 1 1 233,54 233,54 233,54 233,54 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-10 1 1 231,59 231,59 231,59 231,59 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-11 1 1 232,18 232,18 232,18 232,18 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-14 1 1 233,52 233,52 233,52 233,52 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-15 1 1 234,54 234,54 234,54 234,54 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-16 1 1 236,03 236,03 236,03 236,03 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-17 1 1 238,01 238,01 238,01 238,01 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-18 1 1 238,18 238,18 238,18 238,18 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-21 1 1 238,83 238,83 238,83 238,83 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-22 1 1 238,56 238,56 238,56 238,56 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-23 1 1 239,18 239,18 239,18 239,18 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-24 1 1 241,61 241,61 241,61 241,61 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-25 1 1 243,84 243,84 243,84 243,84 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-02-28 1 1 244,03 244,03 244,03 244,03 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-01 1 1 244,61 244,61 244,61 244,61 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-02 1 1 245,64 245,64 245,64 245,64 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-03 1 1 247,39 247,39 247,39 247,39 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-04 1 1 249,7 249,7 249,7 249,7 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-07 1 1 249,75 249,75 249,75 249,75 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-08 1 1 249,25 249,25 249,25 249,25 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-09 1 1 249,15 249,15 249,15 249,15 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-10 1 1 247,6 247,6 247,6 247,6 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-11 1 1 248,4 248,4 248,4 248,4 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-14 1 1 248,06 248,06 248,06 248,06 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-15 1 1 248,91 248,91 248,91 248,91 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-16 1 1 247,82 247,82 247,82 247,82 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-17 1 1 248 248 248 248 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-18 1 1 248,41 248,41 248,41 248,41 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-21 1 1 248,53 248,53 248,53 248,53 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-22 1 1 249,32 249,32 249,32 249,32 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-23 1 1 248,45 248,45 248,45 248,45 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-24 1 1 249,86 249,86 249,86 249,86 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-29 1 1 250,76 250,76 250,76 250,76 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-30 1 1 248,99 248,99 248,99 248,99 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-03-31 1 1 251,02 251,02 251,02 251,02 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-01 1 1 253,4 253,4 253,4 253,4 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-04 1 1 253,08 253,08 253,08 253,08 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-05 1 1 254,48 254,48 254,48 254,48 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-06 1 1 256,27 256,27 256,27 256,27 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-07 1 1 257,1 257,1 257,1 257,1 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-08 1 1 257,86 257,86 257,86 257,86 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-11 1 1 257,44 257,44 257,44 257,44 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-12 1 1 256,94 256,94 256,94 256,94 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-13 1 1 259,27 259,27 259,27 259,27 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-14 1 1 259,69 259,69 259,69 259,69 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-15 1 1 256,06 256,06 256,06 256,06 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-18 1 1 250,75 250,75 250,75 250,75 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-19 1 1 252,6 252,6 252,6 252,6 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-20 1 1 253,5 253,5 253,5 253,5 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-21 1 1 252,66 252,66 252,66 252,66 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-22 1 1 253,22 253,22 253,22 253,22 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-25 1 1 252,56 252,56 252,56 252,56 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-26 1 1 252,55 252,55 252,55 252,55 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-27 1 1 246,29 246,29 246,29 246,29 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-28 1 1 244,26 244,26 244,26 244,26 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-04-29 1 1 244,94 244,94 244,94 244,94 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-02 1 1 248,09 248,09 248,09 248,09 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-03 1 1 247,87 247,87 247,87 247,87 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-04 1 1 247,1 247,1 247,1 247,1 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-06 1 1 248,78 248,78 248,78 248,78 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-09 1 1 248,41 248,41 248,41 248,41 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-10 1 1 247,25 247,25 247,25 247,25 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-11 1 1 246,72 246,72 246,72 246,72 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-12 1 1 247,07 247,07 247,07 247,07 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-13 1 1 247,54 247,54 247,54 247,54 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-16 1 1 249,46 249,46 249,46 249,46 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-17 1 1 251,21 251,21 251,21 251,21 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-18 1 1 253,3 253,3 253,3 253,3 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-19 1 1 254,3 254,3 254,3 254,3 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-20 1 1 254,5 254,5 254,5 254,5 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-23 1 1 256,22 256,22 256,22 256,22 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-24 1 1 256,11 256,11 256,11 256,11 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-25 1 1 255,95 255,95 255,95 255,95 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-26 1 1 257,89 257,89 257,89 257,89 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-27 1 1 258,75 258,75 258,75 258,75 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-30 1 1 259,46 259,46 259,46 259,46 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-05-31 1 1 259,52 259,52 259,52 259,52 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-01 1 1 257,76 257,76 257,76 257,76 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-02 1 1 257,16 257,16 257,16 257,16 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-03 1 1 256,97 256,97 256,97 256,97 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-07 1 1 258,5 258,5 258,5 258,5 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-08 1 1 260,9 260,9 260,9 260,9 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-09 1 1 261,64 261,64 261,64 261,64 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-10 1 1 263,56 263,56 263,56 263,56 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-13 1 1 265,49 265,49 265,49 265,49 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-14 1 1 265,94 265,94 265,94 265,94 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-15 1 1 265,3 265,3 265,3 265,3 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-16 1 1 264,86 264,86 264,86 264,86 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-17 1 1 265,09 265,09 265,09 265,09 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-20 1 1 264,79 264,79 264,79 264,79 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-21 1 1 265,79 265,79 265,79 265,79 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-22 1 1 266,21 266,21 266,21 266,21 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-23 1 1 266,55 266,55 266,55 266,55 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-27 1 1 263,26 263,26 263,26 263,26 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-28 1 1 266,12 266,12 266,12 266,12 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-29 1 1 266,26 266,26 266,26 266,26 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-06-30 1 1 266,94 266,94 266,94 266,94 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-01 1 1 266,61 266,61 266,61 266,61 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-04 1 1 266,93 266,93 266,93 266,93 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-05 1 1 268,19 268,19 268,19 268,19 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-06 1 1 267,36 267,36 267,36 267,36 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-07 1 1 264,14 264,14 264,14 264,14 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-08 1 1 267,78 267,78 267,78 267,78 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-11 1 1 271,14 271,14 271,14 271,14 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-12 1 1 271,91 271,91 271,91 271,91 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-13 1 1 272,51 272,51 272,51 272,51 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-14 1 1 272,98 272,98 272,98 272,98 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-15 1 1 272,36 272,36 272,36 272,36 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-18 1 1 272,11 272,11 272,11 272,11 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-19 1 1 272,09 272,09 272,09 272,09 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-20 1 1 272,55 272,55 272,55 272,55 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-21 1 1 274,81 274,81 274,81 274,81 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-22 1 1 275,32 275,32 275,32 275,32 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-25 1 1 274,62 274,62 274,62 274,62 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-26 1 1 274,41 274,41 274,41 274,41 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-27 1 1 274,94 274,94 274,94 274,94 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-28 1 1 276,28 276,28 276,28 276,28 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-07-29 1 1 276,88 276,88 276,88 276,88 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-01 1 1 278,15 278,15 278,15 278,15 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-02 1 1 280,52 280,52 280,52 280,52 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-03 1 1 282,09 282,09 282,09 282,09 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-04 1 1 281,4 281,4 281,4 281,4 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-05 1 1 280,39 280,39 280,39 280,39 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-08 1 1 282,11 282,11 282,11 282,11 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-09 1 1 285,09 285,09 285,09 285,09 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-10 1 1 288,36 288,36 288,36 288,36 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-11 1 1 286,33 286,33 286,33 286,33 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-12 1 1 286,55 286,55 286,55 286,55 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-15 1 1 285,71 285,71 285,71 285,71 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-16 1 1 286,75 286,75 286,75 286,75 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-17 1 1 286,83 286,83 286,83 286,83 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-18 1 1 286,55 286,55 286,55 286,55 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-19 1 1 287,47 287,47 287,47 287,47 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-22 1 1 288,97 288,97 288,97 288,97 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-23 1 1 288,24 288,24 288,24 288,24 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-24 1 1 285,99 285,99 285,99 285,99 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-25 1 1 283 283 283 283 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-26 1 1 284,02 284,02 284,02 284,02 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-29 1 1 284,09 284,09 284,09 284,09 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-30 1 1 285,07 285,07 285,07 285,07 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-08-31 1 1 287,04 287,04 287,04 287,04 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-01 1 1 289,1 289,1 289,1 289,1 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-02 1 1 287,89 287,89 287,89 287,89 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-05 1 1 289,79 289,79 289,79 289,79 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-06 1 1 291,4 291,4 291,4 291,4 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-07 1 1 292,81 292,81 292,81 292,81 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-08 1 1 292,99 292,99 292,99 292,99 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-09 1 1 294,23 294,23 294,23 294,23 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-12 1 1 294,15 294,15 294,15 294,15 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-13 1 1 293,56 293,56 293,56 293,56 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-14 1 1 294,76 294,76 294,76 294,76 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-15 1 1 295,7 295,7 295,7 295,7 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-16 1 1 296,13 296,13 296,13 296,13 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-19 1 1 299 299 299 299 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-20 1 1 299,33 299,33 299,33 299,33 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-21 1 1 297,48 297,48 297,48 297,48 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-22 1 1 296,88 296,88 296,88 296,88 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-23 1 1 297,5 297,5 297,5 297,5 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-26 1 1 299,76 299,76 299,76 299,76 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-27 1 1 301,25 301,25 301,25 301,25 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-28 1 1 302,71 302,71 302,71 302,71 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-29 1 1 302,09 302,09 302,09 302,09 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-09-30 1 1 304,06 304,06 304,06 304,06 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-03 1 1 305,31 305,31 305,31 305,31 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-04 1 1 305,27 305,27 305,27 305,27 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-05 1 1 304,36 304,36 304,36 304,36 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-06 1 1 300,78 300,78 300,78 300,78 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-07 1 1 300,67 300,67 300,67 300,67 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-10 1 1 302,52 302,52 302,52 302,52 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-11 1 1 303,49 303,49 303,49 303,49 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-12 1 1 301,17 301,17 301,17 301,17 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-13 1 1 296,74 296,74 296,74 296,74 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-14 1 1 296,62 296,62 296,62 296,62 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-17 1 1 296,77 296,77 296,77 296,77 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-18 1 1 295,94 295,94 295,94 295,94 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-19 1 1 290,34 290,34 290,34 290,34 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-20 1 1 291,43 291,43 291,43 291,43 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-21 1 1 284,88 284,88 284,88 284,88 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-24 1 1 287,95 287,95 287,95 287,95 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-25 1 1 290,92 290,92 290,92 290,92 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-26 1 1 291,25 291,25 291,25 291,25 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-27 1 1 290,26 290,26 290,26 290,26 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-28 1 1 289,8 289,8 289,8 289,8 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-10-31 1 1 295,04 295,04 295,04 295,04 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-01 1 1 297,46 297,46 297,46 297,46 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-02 1 1 299,86 299,86 299,86 299,86 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-03 1 1 302,6 302,6 302,6 302,6 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-04 1 1 302,36 302,36 302,36 302,36 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-07 1 1 303,4 303,4 303,4 303,4 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-08 1 1 301,76 301,76 301,76 301,76 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-09 1 1 302,64 302,64 302,64 302,64 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-10 1 1 304,03 304,03 304,03 304,03 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-11 1 1 305,24 305,24 305,24 305,24 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-14 1 1 305,52 305,52 305,52 305,52 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-15 1 1 306,29 306,29 306,29 306,29 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-16 1 1 305,22 305,22 305,22 305,22 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-17 1 1 307,04 307,04 307,04 307,04 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-18 1 1 307,65 307,65 307,65 307,65 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-21 1 1 309,13 309,13 309,13 309,13 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-22 1 1 310,28 310,28 310,28 310,28 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-23 1 1 310,1 310,1 310,1 310,1 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-24 1 1 309,71 309,71 309,71 309,71 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-25 1 1 311,03 311,03 311,03 311,03 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-28 1 1 310,93 310,93 310,93 310,93 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-29 1 1 311,74 311,74 311,74 311,74 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-11-30 1 1 311,98 311,98 311,98 311,98 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-01 1 1 314,13 314,13 314,13 314,13 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-02 1 1 316,52 316,52 316,52 316,52 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-05 1 1 315,8 315,8 315,8 315,8 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-06 1 1 317,54 317,54 317,54 317,54 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-07 1 1 318,28 318,28 318,28 318,28 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-08 1 1 317,36 317,36 317,36 317,36 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-12 1 1 319,25 319,25 319,25 319,25 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-13 1 1 320,54 320,54 320,54 320,54 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-14 1 1 319,68 319,68 319,68 319,68 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-15 1 1 319,21 319,21 319,21 319,21 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-16 1 1 321,15 321,15 321,15 321,15 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-19 1 1 322,58 322,58 322,58 322,58 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-20 1 1 323,5 323,5 323,5 323,5 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-21 1 1 326,17 326,17 326,17 326,17 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-22 1 1 327,45 327,45 327,45 327,45 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-23 1 1 328,99 328,99 328,99 328,99 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-27 1 1 331,4 331,4 331,4 331,4 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-28 1 1 330,94 330,94 330,94 330,94 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-29 1 1 333,07 333,07 333,07 333,07 840272 Carnegie Fond AB Carnegie Småbolag SEK 2005-12-30 1 1 334,24 334,24 334,24 334,24 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-03 1 1 194,19 194,19 194,19 194,19 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-04 1 1 195,07 195,07 195,07 195,07 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-05 1 1 193,43 193,43 193,43 193,43 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-07 1 1 193,95 193,95 193,95 193,95 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-10 1 1 196,56 196,56 196,56 196,56 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-11 1 1 194,62 194,62 194,62 194,62 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-12 1 1 191,26 191,26 191,26 191,26 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-13 1 1 191,88 191,88 191,88 191,88 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-14 1 1 192,87 192,87 192,87 192,87 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-17 1 1 194,22 194,22 194,22 194,22 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-18 1 1 193,85 193,85 193,85 193,85 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-19 1 1 194,07 194,07 194,07 194,07 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-20 1 1 192,5 192,5 192,5 192,5 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-21 1 1 191,75 191,75 191,75 191,75 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-24 1 1 189,35 189,35 189,35 189,35 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-25 1 1 191,61 191,61 191,61 191,61 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-26 1 1 191,35 191,35 191,35 191,35 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-27 1 1 192,28 192,28 192,28 192,28 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-28 1 1 191,39 191,39 191,39 191,39 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-01-31 1 1 192,14 192,14 192,14 192,14 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-01 1 1 193,86 193,86 193,86 193,86 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-02 1 1 195,38 195,38 195,38 195,38 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-03 1 1 194,36 194,36 194,36 194,36 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-04 1 1 196,28 196,28 196,28 196,28 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-07 1 1 198,09 198,09 198,09 198,09 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-08 1 1 198,52 198,52 198,52 198,52 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-09 1 1 199,51 199,51 199,51 199,51 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-10 1 1 196,93 196,93 196,93 196,93 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-11 1 1 199,32 199,32 199,32 199,32 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-14 1 1 199,22 199,22 199,22 199,22 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-15 1 1 201,36 201,36 201,36 201,36 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-16 1 1 198,25 198,25 198,25 198,25 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-17 1 1 198,55 198,55 198,55 198,55 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-18 1 1 197,67 197,67 197,67 197,67 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-21 1 1 197,96 197,96 197,96 197,96 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-22 1 1 196,88 196,88 196,88 196,88 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-23 1 1 196,88 196,88 196,88 196,88 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-24 1 1 197,73 197,73 197,73 197,73 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-25 1 1 199,8 199,8 199,8 199,8 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-02-28 1 1 199,93 199,93 199,93 199,93 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-01 1 1 200,73 200,73 200,73 200,73 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-02 1 1 200,67 200,67 200,67 200,67 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-03 1 1 201,51 201,51 201,51 201,51 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-04 1 1 202,85 202,85 202,85 202,85 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-07 1 1 202,52 202,52 202,52 202,52 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-08 1 1 201,67 201,67 201,67 201,67 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-09 1 1 201,56 201,56 201,56 201,56 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-10 1 1 199,37 199,37 199,37 199,37 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-11 1 1 199,95 199,95 199,95 199,95 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-14 1 1 200,49 200,49 200,49 200,49 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-15 1 1 201,45 201,45 201,45 201,45 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-16 1 1 199,2 199,2 199,2 199,2 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-17 1 1 199,3 199,3 199,3 199,3 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-18 1 1 198,44 198,44 198,44 198,44 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-21 1 1 197,65 197,65 197,65 197,65 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-22 1 1 199,01 199,01 199,01 199,01 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-23 1 1 198,03 198,03 198,03 198,03 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-24 1 1 199,52 199,52 199,52 199,52 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-29 1 1 199,83 199,83 199,83 199,83 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-30 1 1 199,18 199,18 199,18 199,18 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-03-31 1 1 200,61 200,61 200,61 200,61 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-01 1 1 201,82 201,82 201,82 201,82 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-04 1 1 201,04 201,04 201,04 201,04 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-05 1 1 203,54 203,54 203,54 203,54 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-06 1 1 204,73 204,73 204,73 204,73 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-07 1 1 205,57 205,57 205,57 205,57 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-08 1 1 206,13 206,13 206,13 206,13 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-11 1 1 207,15 207,15 207,15 207,15 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-12 1 1 206,21 206,21 206,21 206,21 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-13 1 1 208,34 208,34 208,34 208,34 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-14 1 1 209,04 209,04 209,04 209,04 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-15 1 1 206,55 206,55 206,55 206,55 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-18 1 1 202,92 202,92 202,92 202,92 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-19 1 1 203,09 203,09 203,09 203,09 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-20 1 1 203,55 203,55 203,55 203,55 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-21 1 1 203,28 203,28 203,28 203,28 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-22 1 1 205,47 205,47 205,47 205,47 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-25 1 1 205,36 205,36 205,36 205,36 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-26 1 1 203,97 203,97 203,97 203,97 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-27 1 1 199,81 199,81 199,81 199,81 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-28 1 1 197,01 197,01 197,01 197,01 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-04-29 1 1 197,02 197,02 197,02 197,02 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-02 1 1 200,32 200,32 200,32 200,32 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-03 1 1 199,87 199,87 199,87 199,87 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-04 1 1 200,66 200,66 200,66 200,66 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-06 1 1 203,34 203,34 203,34 203,34 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-09 1 1 203,61 203,61 203,61 203,61 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-10 1 1 202,01 202,01 202,01 202,01 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-11 1 1 201,56 201,56 201,56 201,56 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-12 1 1 203,01 203,01 203,01 203,01 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-13 1 1 204,71 204,71 204,71 204,71 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-16 1 1 205,29 205,29 205,29 205,29 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-17 1 1 205,72 205,72 205,72 205,72 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-18 1 1 207,23 207,23 207,23 207,23 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-19 1 1 207,92 207,92 207,92 207,92 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-20 1 1 208,47 208,47 208,47 208,47 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-23 1 1 208,07 208,07 208,07 208,07 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-24 1 1 208,09 208,09 208,09 208,09 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-25 1 1 208,13 208,13 208,13 208,13 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-26 1 1 209,28 209,28 209,28 209,28 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-27 1 1 209,6 209,6 209,6 209,6 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-30 1 1 210,27 210,27 210,27 210,27 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-05-31 1 1 210,35 210,35 210,35 210,35 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-01 1 1 210,72 210,72 210,72 210,72 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-02 1 1 209,96 209,96 209,96 209,96 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-03 1 1 208,96 208,96 208,96 208,96 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-07 1 1 210,16 210,16 210,16 210,16 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-08 1 1 210,84 210,84 210,84 210,84 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-09 1 1 210,47 210,47 210,47 210,47 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-10 1 1 211,19 211,19 211,19 211,19 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-13 1 1 211,87 211,87 211,87 211,87 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-14 1 1 213,11 213,11 213,11 213,11 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-15 1 1 212,03 212,03 212,03 212,03 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-16 1 1 213,74 213,74 213,74 213,74 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-17 1 1 214,18 214,18 214,18 214,18 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-20 1 1 214,34 214,34 214,34 214,34 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-21 1 1 215,67 215,67 215,67 215,67 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-22 1 1 216,08 216,08 216,08 216,08 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-23 1 1 217,91 217,91 217,91 217,91 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-27 1 1 213,46 213,46 213,46 213,46 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-28 1 1 214,17 214,17 214,17 214,17 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-29 1 1 216,37 216,37 216,37 216,37 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-06-30 1 1 216,82 216,82 216,82 216,82 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-01 1 1 217,98 217,98 217,98 217,98 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-04 1 1 218,99 218,99 218,99 218,99 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-05 1 1 218,67 218,67 218,67 218,67 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-06 1 1 218,48 218,48 218,48 218,48 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-07 1 1 214,99 214,99 214,99 214,99 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-08 1 1 218,12 218,12 218,12 218,12 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-11 1 1 221,55 221,55 221,55 221,55 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-12 1 1 222 222 222 222 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-13 1 1 222,92 222,92 222,92 222,92 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-14 1 1 223,24 223,24 223,24 223,24 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-15 1 1 223,35 223,35 223,35 223,35 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-18 1 1 223,56 223,56 223,56 223,56 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-19 1 1 224,41 224,41 224,41 224,41 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-20 1 1 223,78 223,78 223,78 223,78 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-21 1 1 224,64 224,64 224,64 224,64 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-22 1 1 225,03 225,03 225,03 225,03 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-25 1 1 224,97 224,97 224,97 224,97 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-26 1 1 225,77 225,77 225,77 225,77 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-27 1 1 226,92 226,92 226,92 226,92 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-28 1 1 228,06 228,06 228,06 228,06 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-07-29 1 1 227,94 227,94 227,94 227,94 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-01 1 1 228,07 228,07 228,07 228,07 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-02 1 1 229,76 229,76 229,76 229,76 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-03 1 1 229,28 229,28 229,28 229,28 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-04 1 1 227,78 227,78 227,78 227,78 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-05 1 1 226,92 226,92 226,92 226,92 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-08 1 1 226,38 226,38 226,38 226,38 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-09 1 1 227,15 227,15 227,15 227,15 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-10 1 1 230,42 230,42 230,42 230,42 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-11 1 1 229,1 229,1 229,1 229,1 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-12 1 1 227,86 227,86 227,86 227,86 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-15 1 1 227,68 227,68 227,68 227,68 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-16 1 1 227,34 227,34 227,34 227,34 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-17 1 1 226,76 226,76 226,76 226,76 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-18 1 1 227,07 227,07 227,07 227,07 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-19 1 1 228,62 228,62 228,62 228,62 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-22 1 1 228,56 228,56 228,56 228,56 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-23 1 1 226,77 226,77 226,77 226,77 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-24 1 1 224,26 224,26 224,26 224,26 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-25 1 1 221,45 221,45 221,45 221,45 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-26 1 1 219,94 219,94 219,94 219,94 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-29 1 1 221,21 221,21 221,21 221,21 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-30 1 1 221,38 221,38 221,38 221,38 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-08-31 1 1 222,92 222,92 222,92 222,92 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-01 1 1 224,51 224,51 224,51 224,51 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-02 1 1 224,56 224,56 224,56 224,56 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-05 1 1 226,03 226,03 226,03 226,03 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-06 1 1 227,52 227,52 227,52 227,52 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-07 1 1 228,37 228,37 228,37 228,37 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-08 1 1 227,5 227,5 227,5 227,5 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-09 1 1 228,93 228,93 228,93 228,93 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-12 1 1 229,31 229,31 229,31 229,31 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-13 1 1 229,55 229,55 229,55 229,55 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-14 1 1 230,43 230,43 230,43 230,43 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-15 1 1 229,35 229,35 229,35 229,35 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-16 1 1 230,22 230,22 230,22 230,22 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-19 1 1 231,13 231,13 231,13 231,13 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-20 1 1 230,57 230,57 230,57 230,57 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-21 1 1 228,8 228,8 228,8 228,8 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-22 1 1 228,74 228,74 228,74 228,74 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-23 1 1 229,42 229,42 229,42 229,42 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-26 1 1 232,58 232,58 232,58 232,58 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-27 1 1 232,54 232,54 232,54 232,54 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-28 1 1 234,41 234,41 234,41 234,41 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-29 1 1 234,62 234,62 234,62 234,62 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-09-30 1 1 236,37 236,37 236,37 236,37 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-03 1 1 237,9 237,9 237,9 237,9 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-04 1 1 237,8 237,8 237,8 237,8 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-05 1 1 236,78 236,78 236,78 236,78 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-06 1 1 233,97 233,97 233,97 233,97 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-07 1 1 233,93 233,93 233,93 233,93 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-10 1 1 235,15 235,15 235,15 235,15 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-11 1 1 235,33 235,33 235,33 235,33 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-12 1 1 232,78 232,78 232,78 232,78 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-13 1 1 231,04 231,04 231,04 231,04 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-14 1 1 230,79 230,79 230,79 230,79 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-17 1 1 230,27 230,27 230,27 230,27 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-18 1 1 228,92 228,92 228,92 228,92 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-19 1 1 226,37 226,37 226,37 226,37 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-20 1 1 226,69 226,69 226,69 226,69 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-21 1 1 218,44 218,44 218,44 218,44 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-24 1 1 221,49 221,49 221,49 221,49 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-25 1 1 223,48 223,48 223,48 223,48 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-26 1 1 223,81 223,81 223,81 223,81 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-27 1 1 221,07 221,07 221,07 221,07 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-28 1 1 220,83 220,83 220,83 220,83 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-10-31 1 1 226,52 226,52 226,52 226,52 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-01 1 1 227,84 227,84 227,84 227,84 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-02 1 1 228,31 228,31 228,31 228,31 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-03 1 1 230,45 230,45 230,45 230,45 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-04 1 1 230,19 230,19 230,19 230,19 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-07 1 1 231,8 231,8 231,8 231,8 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-08 1 1 231,14 231,14 231,14 231,14 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-09 1 1 231,63 231,63 231,63 231,63 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-10 1 1 231,45 231,45 231,45 231,45 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-11 1 1 234,46 234,46 234,46 234,46 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-14 1 1 234,71 234,71 234,71 234,71 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-15 1 1 234,15 234,15 234,15 234,15 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-16 1 1 234,25 234,25 234,25 234,25 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-17 1 1 234,81 234,81 234,81 234,81 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-18 1 1 235,71 235,71 235,71 235,71 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-21 1 1 236,72 236,72 236,72 236,72 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-22 1 1 235,67 235,67 235,67 235,67 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-23 1 1 236,99 236,99 236,99 236,99 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-24 1 1 235,8 235,8 235,8 235,8 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-25 1 1 236,33 236,33 236,33 236,33 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-28 1 1 236,78 236,78 236,78 236,78 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-29 1 1 236,16 236,16 236,16 236,16 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-11-30 1 1 234,89 234,89 234,89 234,89 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-01 1 1 237,52 237,52 237,52 237,52 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-02 1 1 239,89 239,89 239,89 239,89 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-05 1 1 238,47 238,47 238,47 238,47 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-06 1 1 240,12 240,12 240,12 240,12 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-07 1 1 240,28 240,28 240,28 240,28 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-08 1 1 241,1 241,1 241,1 241,1 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-12 1 1 241,98 241,98 241,98 241,98 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-13 1 1 242,12 242,12 242,12 242,12 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-14 1 1 241,29 241,29 241,29 241,29 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-15 1 1 240,67 240,67 240,67 240,67 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-16 1 1 242,17 242,17 242,17 242,17 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-19 1 1 243,13 243,13 243,13 243,13 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-20 1 1 242,65 242,65 242,65 242,65 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-21 1 1 244,47 244,47 244,47 244,47 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-22 1 1 245,2 245,2 245,2 245,2 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-23 1 1 247,1 247,1 247,1 247,1 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-27 1 1 248,99 248,99 248,99 248,99 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-28 1 1 248,02 248,02 248,02 248,02 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-29 1 1 249,35 249,35 249,35 249,35 876102 Carnegie Fond AB Carnegie Sverige SEK 2005-12-30 1 1 248,15 248,15 248,15 248,15 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-03 1 1 111,23 111,23 111,23 111,23 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-04 1 1 111,23 111,23 111,23 111,23 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-05 1 1 111,2 111,2 111,2 111,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-07 1 1 111,41 111,41 111,41 111,41 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-10 1 1 111,47 111,47 111,47 111,47 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-11 1 1 111,51 111,51 111,51 111,51 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-12 1 1 111,52 111,52 111,52 111,52 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-13 1 1 111,62 111,62 111,62 111,62 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-14 1 1 111,65 111,65 111,65 111,65 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-17 1 1 111,71 111,71 111,71 111,71 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-18 1 1 111,74 111,74 111,74 111,74 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-19 1 1 111,83 111,83 111,83 111,83 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-20 1 1 111,77 111,77 111,77 111,77 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-21 1 1 111,81 111,81 111,81 111,81 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-24 1 1 111,9 111,9 111,9 111,9 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-25 1 1 111,92 111,92 111,92 111,92 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-26 1 1 111,87 111,87 111,87 111,87 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-27 1 1 111,84 111,84 111,84 111,84 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-28 1 1 111,94 111,94 111,94 111,94 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-01-31 1 1 111,97 111,97 111,97 111,97 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-01 1 1 112,01 112,01 112,01 112,01 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-02 1 1 112,05 112,05 112,05 112,05 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-03 1 1 112,1 112,1 112,1 112,1 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-04 1 1 112,15 112,15 112,15 112,15 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-07 1 1 112,19 112,19 112,19 112,19 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-08 1 1 112,2 112,2 112,2 112,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-09 1 1 112,28 112,28 112,28 112,28 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-10 1 1 112,28 112,28 112,28 112,28 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-11 1 1 112,27 112,27 112,27 112,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-14 1 1 112,24 112,24 112,24 112,24 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-15 1 1 112,27 112,27 112,27 112,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-16 1 1 112,29 112,29 112,29 112,29 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-17 1 1 112,21 112,21 112,21 112,21 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-18 1 1 112,08 112,08 112,08 112,08 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-21 1 1 112 112 112 112 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-22 1 1 111,93 111,93 111,93 111,93 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-23 1 1 112,02 112,02 112,02 112,02 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-24 1 1 111,96 111,96 111,96 111,96 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-25 1 1 111,96 111,96 111,96 111,96 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-02-28 1 1 112,02 112,02 112,02 112,02 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-01 1 1 112,02 112,02 112,02 112,02 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-02 1 1 111,99 111,99 111,99 111,99 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-03 1 1 112,01 112,01 112,01 112,01 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-04 1 1 112,05 112,05 112,05 112,05 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-07 1 1 112,14 112,14 112,14 112,14 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-08 1 1 112,24 112,24 112,24 112,24 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-09 1 1 112,14 112,14 112,14 112,14 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-10 1 1 112,15 112,15 112,15 112,15 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-11 1 1 112,12 112,12 112,12 112,12 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-14 1 1 112,13 112,13 112,13 112,13 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-15 1 1 112,2 112,2 112,2 112,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-16 1 1 112,18 112,18 112,18 112,18 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-17 1 1 112,2 112,2 112,2 112,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-18 1 1 112,18 112,18 112,18 112,18 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-21 1 1 112,18 112,18 112,18 112,18 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-22 1 1 112,23 112,23 112,23 112,23 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-23 1 1 112,24 112,24 112,24 112,24 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-24 1 1 112,29 112,29 112,29 112,29 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-29 1 1 112,35 112,35 112,35 112,35 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-30 1 1 112,41 112,41 112,41 112,41 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-03-31 1 1 112,54 112,54 112,54 112,54 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-01 1 1 112,64 112,64 112,64 112,64 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-04 1 1 112,67 112,67 112,67 112,67 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-05 1 1 112,7 112,7 112,7 112,7 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-06 1 1 112,73 112,73 112,73 112,73 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-07 1 1 112,81 112,81 112,81 112,81 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-08 1 1 112,79 112,79 112,79 112,79 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-11 1 1 112,81 112,81 112,81 112,81 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-12 1 1 112,81 112,81 112,81 112,81 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-13 1 1 112,85 112,85 112,85 112,85 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-14 1 1 112,86 112,86 112,86 112,86 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-15 1 1 112,9 112,9 112,9 112,9 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-18 1 1 113,12 113,12 113,12 113,12 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-19 1 1 113,15 113,15 113,15 113,15 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-20 1 1 113,19 113,19 113,19 113,19 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-21 1 1 113,3 113,3 113,3 113,3 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-22 1 1 113,41 113,41 113,41 113,41 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-25 1 1 113,47 113,47 113,47 113,47 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-26 1 1 113,57 113,57 113,57 113,57 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-27 1 1 113,63 113,63 113,63 113,63 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-28 1 1 113,69 113,69 113,69 113,69 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-04-29 1 1 113,69 113,69 113,69 113,69 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-02 1 1 113,75 113,75 113,75 113,75 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-03 1 1 113,77 113,77 113,77 113,77 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-04 1 1 113,67 113,67 113,67 113,67 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-06 1 1 113,64 113,64 113,64 113,64 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-09 1 1 113,6 113,6 113,6 113,6 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-10 1 1 113,71 113,71 113,71 113,71 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-11 1 1 113,75 113,75 113,75 113,75 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-12 1 1 113,82 113,82 113,82 113,82 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-13 1 1 113,85 113,85 113,85 113,85 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-16 1 1 113,86 113,86 113,86 113,86 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-17 1 1 113,86 113,86 113,86 113,86 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-18 1 1 114,02 114,02 114,02 114,02 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-19 1 1 114,01 114,01 114,01 114,01 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-20 1 1 113,95 113,95 113,95 113,95 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-23 1 1 113,92 113,92 113,92 113,92 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-24 1 1 113,96 113,96 113,96 113,96 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-25 1 1 114 114 114 114 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-26 1 1 113,94 113,94 113,94 113,94 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-27 1 1 113,97 113,97 113,97 113,97 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-30 1 1 113,94 113,94 113,94 113,94 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-05-31 1 1 114,03 114,03 114,03 114,03 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-01 1 1 114,06 114,06 114,06 114,06 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-02 1 1 110,39 110,39 110,39 110,39 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-03 1 1 110,43 110,43 110,43 110,43 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-07 1 1 110,44 110,44 110,44 110,44 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-08 1 1 110,64 110,64 110,64 110,64 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-09 1 1 110,65 110,65 110,65 110,65 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-10 1 1 110,79 110,79 110,79 110,79 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-13 1 1 110,79 110,79 110,79 110,79 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-14 1 1 110,76 110,76 110,76 110,76 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-15 1 1 110,72 110,72 110,72 110,72 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-16 1 1 110,62 110,62 110,62 110,62 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-17 1 1 110,65 110,65 110,65 110,65 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-20 1 1 110,66 110,66 110,66 110,66 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-21 1 1 110,74 110,74 110,74 110,74 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-22 1 1 110,79 110,79 110,79 110,79 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-23 1 1 110,78 110,78 110,78 110,78 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-27 1 1 111,13 111,13 111,13 111,13 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-28 1 1 111,16 111,16 111,16 111,16 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-29 1 1 111,2 111,2 111,2 111,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-06-30 1 1 111,26 111,26 111,26 111,26 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-01 1 1 111,29 111,29 111,29 111,29 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-04 1 1 111,27 111,27 111,27 111,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-05 1 1 111,2 111,2 111,2 111,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-06 1 1 111,23 111,23 111,23 111,23 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-07 1 1 111,32 111,32 111,32 111,32 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-08 1 1 111,34 111,34 111,34 111,34 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-11 1 1 111,31 111,31 111,31 111,31 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-12 1 1 111,28 111,28 111,28 111,28 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-13 1 1 111,28 111,28 111,28 111,28 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-14 1 1 111,27 111,27 111,27 111,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-15 1 1 111,25 111,25 111,25 111,25 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-18 1 1 111,28 111,28 111,28 111,28 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-19 1 1 111,27 111,27 111,27 111,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-20 1 1 111,29 111,29 111,29 111,29 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-21 1 1 111,34 111,34 111,34 111,34 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-22 1 1 111,35 111,35 111,35 111,35 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-25 1 1 111,39 111,39 111,39 111,39 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-26 1 1 111,39 111,39 111,39 111,39 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-27 1 1 111,42 111,42 111,42 111,42 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-28 1 1 111,4 111,4 111,4 111,4 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-07-29 1 1 111,39 111,39 111,39 111,39 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-01 1 1 111,31 111,31 111,31 111,31 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-02 1 1 111,29 111,29 111,29 111,29 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-03 1 1 111,27 111,27 111,27 111,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-04 1 1 111,29 111,29 111,29 111,29 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-05 1 1 111,28 111,28 111,28 111,28 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-08 1 1 111,29 111,29 111,29 111,29 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-09 1 1 111,3 111,3 111,3 111,3 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-10 1 1 111,29 111,29 111,29 111,29 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-11 1 1 111,3 111,3 111,3 111,3 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-12 1 1 111,3 111,3 111,3 111,3 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-15 1 1 111,43 111,43 111,43 111,43 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-16 1 1 111,48 111,48 111,48 111,48 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-17 1 1 111,52 111,52 111,52 111,52 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-18 1 1 111,52 111,52 111,52 111,52 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-19 1 1 111,53 111,53 111,53 111,53 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-22 1 1 111,67 111,67 111,67 111,67 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-23 1 1 111,7 111,7 111,7 111,7 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-24 1 1 111,79 111,79 111,79 111,79 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-25 1 1 111,86 111,86 111,86 111,86 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-26 1 1 111,87 111,87 111,87 111,87 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-29 1 1 111,87 111,87 111,87 111,87 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-30 1 1 111,86 111,86 111,86 111,86 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-08-31 1 1 111,92 111,92 111,92 111,92 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-01 1 1 112,01 112,01 112,01 112,01 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-02 1 1 112,07 112,07 112,07 112,07 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-05 1 1 112,11 112,11 112,11 112,11 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-06 1 1 112,11 112,11 112,11 112,11 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-07 1 1 112,14 112,14 112,14 112,14 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-08 1 1 112,18 112,18 112,18 112,18 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-09 1 1 112,26 112,26 112,26 112,26 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-12 1 1 112,2 112,2 112,2 112,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-13 1 1 112,19 112,19 112,19 112,19 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-14 1 1 112,2 112,2 112,2 112,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-15 1 1 112,17 112,17 112,17 112,17 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-16 1 1 112,17 112,17 112,17 112,17 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-19 1 1 112,13 112,13 112,13 112,13 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-20 1 1 112,2 112,2 112,2 112,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-21 1 1 112,22 112,22 112,22 112,22 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-22 1 1 112,27 112,27 112,27 112,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-23 1 1 112,25 112,25 112,25 112,25 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-26 1 1 112,24 112,24 112,24 112,24 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-27 1 1 112,24 112,24 112,24 112,24 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-28 1 1 112,22 112,22 112,22 112,22 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-29 1 1 112,2 112,2 112,2 112,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-09-30 1 1 112,2 112,2 112,2 112,2 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-03 1 1 112,21 112,21 112,21 112,21 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-04 1 1 112,22 112,22 112,22 112,22 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-05 1 1 112,23 112,23 112,23 112,23 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-06 1 1 112,21 112,21 112,21 112,21 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-07 1 1 112,18 112,18 112,18 112,18 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-10 1 1 112,19 112,19 112,19 112,19 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-11 1 1 112,19 112,19 112,19 112,19 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-12 1 1 112,13 112,13 112,13 112,13 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-13 1 1 112,11 112,11 112,11 112,11 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-14 1 1 112,19 112,19 112,19 112,19 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-17 1 1 112,21 112,21 112,21 112,21 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-18 1 1 112,21 112,21 112,21 112,21 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-19 1 1 112,25 112,25 112,25 112,25 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-20 1 1 112,23 112,23 112,23 112,23 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-21 1 1 112,27 112,27 112,27 112,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-24 1 1 112,31 112,31 112,31 112,31 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-25 1 1 112,29 112,29 112,29 112,29 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-26 1 1 112,27 112,27 112,27 112,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-27 1 1 112,27 112,27 112,27 112,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-28 1 1 112,28 112,28 112,28 112,28 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-10-31 1 1 112,3 112,3 112,3 112,3 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-01 1 1 112,32 112,32 112,32 112,32 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-02 1 1 112,32 112,32 112,32 112,32 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-03 1 1 112,31 112,31 112,31 112,31 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-04 1 1 112,27 112,27 112,27 112,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-07 1 1 112,28 112,28 112,28 112,28 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-08 1 1 112,26 112,26 112,26 112,26 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-09 1 1 112,27 112,27 112,27 112,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-10 1 1 112,27 112,27 112,27 112,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-11 1 1 112,26 112,26 112,26 112,26 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-14 1 1 112,27 112,27 112,27 112,27 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-15 1 1 112,29 112,29 112,29 112,29 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-16 1 1 112,3 112,3 112,3 112,3 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-17 1 1 112,31 112,31 112,31 112,31 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-18 1 1 112,31 112,31 112,31 112,31 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-21 1 1 112,32 112,32 112,32 112,32 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-22 1 1 112,34 112,34 112,34 112,34 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-23 1 1 112,36 112,36 112,36 112,36 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-24 1 1 112,36 112,36 112,36 112,36 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-25 1 1 112,35 112,35 112,35 112,35 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-28 1 1 112,37 112,37 112,37 112,37 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-29 1 1 112,38 112,38 112,38 112,38 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-11-30 1 1 112,41 112,41 112,41 112,41 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-01 1 1 112,45 112,45 112,45 112,45 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-02 1 1 112,39 112,39 112,39 112,39 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-05 1 1 112,44 112,44 112,44 112,44 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-06 1 1 112,47 112,47 112,47 112,47 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-07 1 1 112,49 112,49 112,49 112,49 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-08 1 1 112,48 112,48 112,48 112,48 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-12 1 1 112,5 112,5 112,5 112,5 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-13 1 1 112,5 112,5 112,5 112,5 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-14 1 1 112,46 112,46 112,46 112,46 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-15 1 1 112,51 112,51 112,51 112,51 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-16 1 1 112,52 112,52 112,52 112,52 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-19 1 1 112,52 112,52 112,52 112,52 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-20 1 1 112,51 112,51 112,51 112,51 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-21 1 1 112,52 112,52 112,52 112,52 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-22 1 1 112,52 112,52 112,52 112,52 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-23 1 1 112,52 112,52 112,52 112,52 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-27 1 1 112,56 112,56 112,56 112,56 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-28 1 1 112,56 112,56 112,56 112,56 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-29 1 1 112,57 112,57 112,57 112,57 112755 Catella Fondförvaltning AB Catella Avkastningsfond SEK 2005-12-30 1 1 112,57 112,57 112,57 112,57 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-03 1 1 82,77 82,77 82,77 82,77 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-04 1 1 83,05 83,05 83,05 83,05 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-05 1 1 82,59 82,59 82,59 82,59 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-07 1 1 83,64 83,64 83,64 83,64 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-10 1 1 83,77 83,77 83,77 83,77 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-11 1 1 83,12 83,12 83,12 83,12 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-12 1 1 82,76 82,76 82,76 82,76 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-13 1 1 82,75 82,75 82,75 82,75 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-14 1 1 83,19 83,19 83,19 83,19 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-17 1 1 83,61 83,61 83,61 83,61 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-18 1 1 83,42 83,42 83,42 83,42 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-19 1 1 84,04 84,04 84,04 84,04 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-20 1 1 83,2 83,2 83,2 83,2 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-21 1 1 83,82 83,82 83,82 83,82 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-24 1 1 84,12 84,12 84,12 84,12 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-25 1 1 85,14 85,14 85,14 85,14 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-26 1 1 85,34 85,34 85,34 85,34 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-27 1 1 85,37 85,37 85,37 85,37 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-28 1 1 85,56 85,56 85,56 85,56 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-01-31 1 1 85,95 85,95 85,95 85,95 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-01 1 1 86,21 86,21 86,21 86,21 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-02 1 1 86,76 86,76 86,76 86,76 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-03 1 1 86,61 86,61 86,61 86,61 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-04 1 1 87,2 87,2 87,2 87,2 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-07 1 1 87,79 87,79 87,79 87,79 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-08 1 1 88,09 88,09 88,09 88,09 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-09 1 1 88,35 88,35 88,35 88,35 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-10 1 1 88,36 88,36 88,36 88,36 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-11 1 1 88,76 88,76 88,76 88,76 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-14 1 1 89,19 89,19 89,19 89,19 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-15 1 1 89,32 89,32 89,32 89,32 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-16 1 1 88,74 88,74 88,74 88,74 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-17 1 1 89,43 89,43 89,43 89,43 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-18 1 1 89,14 89,14 89,14 89,14 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-21 1 1 89,53 89,53 89,53 89,53 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-22 1 1 89,06 89,06 89,06 89,06 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-23 1 1 88,76 88,76 88,76 88,76 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-24 1 1 88,71 88,71 88,71 88,71 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-25 1 1 89,24 89,24 89,24 89,24 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-02-28 1 1 89,32 89,32 89,32 89,32 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-01 1 1 89,38 89,38 89,38 89,38 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-02 1 1 89,94 89,94 89,94 89,94 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-03 1 1 90,27 90,27 90,27 90,27 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-04 1 1 90,62 90,62 90,62 90,62 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-07 1 1 90,65 90,65 90,65 90,65 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-08 1 1 90,45 90,45 90,45 90,45 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-09 1 1 90,25 90,25 90,25 90,25 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-10 1 1 89,89 89,89 89,89 89,89 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-11 1 1 90,11 90,11 90,11 90,11 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-14 1 1 89,84 89,84 89,84 89,84 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-15 1 1 90,41 90,41 90,41 90,41 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-16 1 1 89,14 89,14 89,14 89,14 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-17 1 1 89,09 89,09 89,09 89,09 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-18 1 1 89,22 89,22 89,22 89,22 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-21 1 1 89,55 89,55 89,55 89,55 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-22 1 1 89,21 89,21 89,21 89,21 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-23 1 1 88,9 88,9 88,9 88,9 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-24 1 1 89,01 89,01 89,01 89,01 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-29 1 1 89,36 89,36 89,36 89,36 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-30 1 1 89,09 89,09 89,09 89,09 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-03-31 1 1 89,71 89,71 89,71 89,71 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-01 1 1 90,69 90,69 90,69 90,69 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-04 1 1 89,83 89,83 89,83 89,83 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-05 1 1 90,55 90,55 90,55 90,55 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-06 1 1 90,56 90,56 90,56 90,56 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-07 1 1 91,24 91,24 91,24 91,24 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-08 1 1 91,95 91,95 91,95 91,95 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-11 1 1 91,22 91,22 91,22 91,22 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-12 1 1 90,94 90,94 90,94 90,94 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-13 1 1 90,95 90,95 90,95 90,95 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-14 1 1 90,76 90,76 90,76 90,76 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-15 1 1 89,21 89,21 89,21 89,21 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-18 1 1 87,11 87,11 87,11 87,11 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-19 1 1 87,9 87,9 87,9 87,9 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-20 1 1 87,31 87,31 87,31 87,31 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-21 1 1 87,75 87,75 87,75 87,75 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-22 1 1 88,24 88,24 88,24 88,24 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-25 1 1 88,53 88,53 88,53 88,53 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-26 1 1 88,02 88,02 88,02 88,02 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-27 1 1 85,77 85,77 85,77 85,77 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-28 1 1 85,15 85,15 85,15 85,15 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-04-29 1 1 85,64 85,64 85,64 85,64 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-02 1 1 85,91 85,91 85,91 85,91 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-03 1 1 86,76 86,76 86,76 86,76 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-04 1 1 86,45 86,45 86,45 86,45 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-06 1 1 87,9 87,9 87,9 87,9 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-09 1 1 87,85 87,85 87,85 87,85 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-10 1 1 87,56 87,56 87,56 87,56 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-11 1 1 87,78 87,78 87,78 87,78 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-12 1 1 87,64 87,64 87,64 87,64 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-13 1 1 86,88 86,88 86,88 86,88 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-16 1 1 87,07 87,07 87,07 87,07 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-17 1 1 87,23 87,23 87,23 87,23 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-18 1 1 88,37 88,37 88,37 88,37 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-19 1 1 88,47 88,47 88,47 88,47 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-20 1 1 88,53 88,53 88,53 88,53 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-23 1 1 89,04 89,04 89,04 89,04 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-24 1 1 89,42 89,42 89,42 89,42 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-25 1 1 89,95 89,95 89,95 89,95 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-26 1 1 91,2 91,2 91,2 91,2 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-27 1 1 91,23 91,23 91,23 91,23 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-30 1 1 91,67 91,67 91,67 91,67 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-05-31 1 1 91,5 91,5 91,5 91,5 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-01 1 1 92,62 92,62 92,62 92,62 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-02 1 1 92,52 92,52 92,52 92,52 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-03 1 1 92,49 92,49 92,49 92,49 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-07 1 1 93,03 93,03 93,03 93,03 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-08 1 1 93,47 93,47 93,47 93,47 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-09 1 1 93,57 93,57 93,57 93,57 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-10 1 1 94,81 94,81 94,81 94,81 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-13 1 1 95,83 95,83 95,83 95,83 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-14 1 1 96,25 96,25 96,25 96,25 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-15 1 1 96,47 96,47 96,47 96,47 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-16 1 1 96,44 96,44 96,44 96,44 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-17 1 1 96,41 96,41 96,41 96,41 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-20 1 1 96,13 96,13 96,13 96,13 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-21 1 1 96,43 96,43 96,43 96,43 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-22 1 1 97,2 97,2 97,2 97,2 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-23 1 1 98,27 98,27 98,27 98,27 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-27 1 1 97,84 97,84 97,84 97,84 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-28 1 1 98,91 98,91 98,91 98,91 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-29 1 1 99,8 99,8 99,8 99,8 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-06-30 1 1 99,91 99,91 99,91 99,91 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-01 1 1 101,06 101,06 101,06 101,06 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-04 1 1 101,4 101,4 101,4 101,4 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-05 1 1 100,86 100,86 100,86 100,86 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-06 1 1 101,53 101,53 101,53 101,53 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-07 1 1 99,63 99,63 99,63 99,63 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-08 1 1 101,64 101,64 101,64 101,64 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-11 1 1 102,37 102,37 102,37 102,37 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-12 1 1 101,76 101,76 101,76 101,76 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-13 1 1 101,7 101,7 101,7 101,7 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-14 1 1 103,27 103,27 103,27 103,27 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-15 1 1 102,69 102,69 102,69 102,69 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-18 1 1 102,47 102,47 102,47 102,47 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-19 1 1 102,74 102,74 102,74 102,74 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-20 1 1 103,03 103,03 103,03 103,03 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-21 1 1 102,79 102,79 102,79 102,79 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-22 1 1 102,65 102,65 102,65 102,65 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-25 1 1 103,19 103,19 103,19 103,19 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-26 1 1 104,09 104,09 104,09 104,09 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-27 1 1 104,25 104,25 104,25 104,25 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-28 1 1 104,25 104,25 104,25 104,25 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-07-29 1 1 104,78 104,78 104,78 104,78 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-01 1 1 104,84 104,84 104,84 104,84 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-02 1 1 105,42 105,42 105,42 105,42 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-03 1 1 105,22 105,22 105,22 105,22 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-04 1 1 104,57 104,57 104,57 104,57 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-05 1 1 104,81 104,81 104,81 104,81 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-08 1 1 105,37 105,37 105,37 105,37 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-09 1 1 106 106 106 106 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-10 1 1 106,75 106,75 106,75 106,75 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-11 1 1 106,27 106,27 106,27 106,27 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-12 1 1 105,86 105,86 105,86 105,86 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-15 1 1 105,7 105,7 105,7 105,7 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-16 1 1 105,33 105,33 105,33 105,33 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-17 1 1 104,68 104,68 104,68 104,68 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-18 1 1 104,53 104,53 104,53 104,53 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-19 1 1 105,51 105,51 105,51 105,51 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-22 1 1 106,14 106,14 106,14 106,14 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-23 1 1 105,41 105,41 105,41 105,41 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-24 1 1 104,76 104,76 104,76 104,76 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-25 1 1 103,95 103,95 103,95 103,95 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-26 1 1 103,56 103,56 103,56 103,56 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-29 1 1 104,1 104,1 104,1 104,1 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-30 1 1 103,96 103,96 103,96 103,96 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-08-31 1 1 104,63 104,63 104,63 104,63 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-01 1 1 105,49 105,49 105,49 105,49 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-02 1 1 105,08 105,08 105,08 105,08 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-05 1 1 105,72 105,72 105,72 105,72 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-06 1 1 106,94 106,94 106,94 106,94 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-07 1 1 107,22 107,22 107,22 107,22 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-08 1 1 107,5 107,5 107,5 107,5 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-09 1 1 108,23 108,23 108,23 108,23 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-12 1 1 108,31 108,31 108,31 108,31 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-13 1 1 107,95 107,95 107,95 107,95 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-14 1 1 107,78 107,78 107,78 107,78 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-15 1 1 107,87 107,87 107,87 107,87 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-16 1 1 108,36 108,36 108,36 108,36 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-19 1 1 108,31 108,31 108,31 108,31 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-20 1 1 108,74 108,74 108,74 108,74 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-21 1 1 107,75 107,75 107,75 107,75 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-22 1 1 107,62 107,62 107,62 107,62 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-23 1 1 108,02 108,02 108,02 108,02 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-26 1 1 108,74 108,74 108,74 108,74 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-27 1 1 109,38 109,38 109,38 109,38 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-28 1 1 109,2 109,2 109,2 109,2 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-29 1 1 108,73 108,73 108,73 108,73 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-09-30 1 1 109,01 109,01 109,01 109,01 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-03 1 1 109,62 109,62 109,62 109,62 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-04 1 1 109,55 109,55 109,55 109,55 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-05 1 1 108,73 108,73 108,73 108,73 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-06 1 1 106,61 106,61 106,61 106,61 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-07 1 1 107,05 107,05 107,05 107,05 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-10 1 1 107,42 107,42 107,42 107,42 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-11 1 1 107,49 107,49 107,49 107,49 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-12 1 1 107,12 107,12 107,12 107,12 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-13 1 1 105,53 105,53 105,53 105,53 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-14 1 1 105,53 105,53 105,53 105,53 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-17 1 1 106,69 106,69 106,69 106,69 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-18 1 1 105,97 105,97 105,97 105,97 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-19 1 1 103,83 103,83 103,83 103,83 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-20 1 1 105,1 105,1 105,1 105,1 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-21 1 1 104,37 104,37 104,37 104,37 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-24 1 1 106,12 106,12 106,12 106,12 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-25 1 1 105,85 105,85 105,85 105,85 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-26 1 1 106,33 106,33 106,33 106,33 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-27 1 1 104,86 104,86 104,86 104,86 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-28 1 1 105,05 105,05 105,05 105,05 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-10-31 1 1 108,13 108,13 108,13 108,13 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-01 1 1 108,88 108,88 108,88 108,88 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-02 1 1 109,25 109,25 109,25 109,25 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-03 1 1 111,09 111,09 111,09 111,09 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-04 1 1 110,73 110,73 110,73 110,73 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-07 1 1 111,06 111,06 111,06 111,06 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-08 1 1 110,91 110,91 110,91 110,91 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-09 1 1 110,93 110,93 110,93 110,93 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-10 1 1 111,32 111,32 111,32 111,32 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-11 1 1 110,74 110,74 110,74 110,74 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-14 1 1 111,05 111,05 111,05 111,05 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-15 1 1 111,32 111,32 111,32 111,32 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-16 1 1 110,86 110,86 110,86 110,86 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-17 1 1 111,56 111,56 111,56 111,56 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-18 1 1 111,62 111,62 111,62 111,62 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-21 1 1 111,41 111,41 111,41 111,41 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-22 1 1 111,9 111,9 111,9 111,9 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-23 1 1 111,59 111,59 111,59 111,59 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-24 1 1 111,48 111,48 111,48 111,48 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-25 1 1 111,79 111,79 111,79 111,79 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-28 1 1 111,28 111,28 111,28 111,28 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-29 1 1 111,51 111,51 111,51 111,51 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-11-30 1 1 111,18 111,18 111,18 111,18 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-01 1 1 111,92 111,92 111,92 111,92 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-02 1 1 112,09 112,09 112,09 112,09 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-05 1 1 112,23 112,23 112,23 112,23 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-06 1 1 112,01 112,01 112,01 112,01 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-07 1 1 112,3 112,3 112,3 112,3 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-08 1 1 112,81 112,81 112,81 112,81 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-12 1 1 113,07 113,07 113,07 113,07 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-13 1 1 113,37 113,37 113,37 113,37 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-14 1 1 112,93 112,93 112,93 112,93 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-15 1 1 112,82 112,82 112,82 112,82 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-16 1 1 113,43 113,43 113,43 113,43 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-19 1 1 112,68 112,68 112,68 112,68 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-20 1 1 112,79 112,79 112,79 112,79 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-21 1 1 113,46 113,46 113,46 113,46 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-22 1 1 113,7 113,7 113,7 113,7 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-23 1 1 114,11 114,11 114,11 114,11 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-27 1 1 113,73 113,73 113,73 113,73 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-28 1 1 113,42 113,42 113,42 113,42 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-29 1 1 113,93 113,93 113,93 113,93 148585 Catella Fondförvaltning AB Catella Europafond SEK 2005-12-30 1 1 113,89 113,89 113,89 113,89 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-03 1 1 102,05 102,05 102,05 102,05 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-04 1 1 102,05 102,05 102,05 102,05 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-05 1 1 102,05 102,05 102,05 102,05 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-07 1 1 102,07 102,07 102,07 102,07 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-10 1 1 102,08 102,08 102,08 102,08 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-11 1 1 102,08 102,08 102,08 102,08 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-12 1 1 102,09 102,09 102,09 102,09 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-13 1 1 102,09 102,09 102,09 102,09 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-14 1 1 102,09 102,09 102,09 102,09 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-17 1 1 102,11 102,11 102,11 102,11 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-18 1 1 102,11 102,11 102,11 102,11 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-19 1 1 102,12 102,12 102,12 102,12 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-20 1 1 102,12 102,12 102,12 102,12 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-21 1 1 102,13 102,13 102,13 102,13 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-24 1 1 102,14 102,14 102,14 102,14 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-25 1 1 102,15 102,15 102,15 102,15 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-26 1 1 102,15 102,15 102,15 102,15 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-27 1 1 102,16 102,16 102,16 102,16 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-28 1 1 102,16 102,16 102,16 102,16 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-01-31 1 1 102,18 102,18 102,18 102,18 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-01 1 1 102,18 102,18 102,18 102,18 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-02 1 1 102,18 102,18 102,18 102,18 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-03 1 1 102,19 102,19 102,19 102,19 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-04 1 1 102,19 102,19 102,19 102,19 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-07 1 1 102,21 102,21 102,21 102,21 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-08 1 1 102,21 102,21 102,21 102,21 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-09 1 1 102,21 102,21 102,21 102,21 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-10 1 1 102,22 102,22 102,22 102,22 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-11 1 1 102,22 102,22 102,22 102,22 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-14 1 1 102,24 102,24 102,24 102,24 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-15 1 1 102,24 102,24 102,24 102,24 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-16 1 1 102,25 102,25 102,25 102,25 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-17 1 1 102,25 102,25 102,25 102,25 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-18 1 1 102,25 102,25 102,25 102,25 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-21 1 1 102,27 102,27 102,27 102,27 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-22 1 1 102,27 102,27 102,27 102,27 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-23 1 1 102,28 102,28 102,28 102,28 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-24 1 1 102,28 102,28 102,28 102,28 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-25 1 1 102,28 102,28 102,28 102,28 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-02-28 1 1 102,3 102,3 102,3 102,3 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-01 1 1 102,3 102,3 102,3 102,3 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-02 1 1 102,31 102,31 102,31 102,31 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-03 1 1 102,31 102,31 102,31 102,31 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-04 1 1 102,32 102,32 102,32 102,32 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-07 1 1 102,33 102,33 102,33 102,33 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-08 1 1 102,34 102,34 102,34 102,34 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-09 1 1 102,35 102,35 102,35 102,35 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-10 1 1 102,35 102,35 102,35 102,35 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-11 1 1 102,35 102,35 102,35 102,35 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-14 1 1 102,37 102,37 102,37 102,37 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-15 1 1 102,37 102,37 102,37 102,37 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-16 1 1 102,37 102,37 102,37 102,37 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-17 1 1 102,38 102,38 102,38 102,38 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-18 1 1 102,38 102,38 102,38 102,38 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-21 1 1 102,39 102,39 102,39 102,39 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-22 1 1 102,39 102,39 102,39 102,39 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-23 1 1 102,4 102,4 102,4 102,4 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-24 1 1 102,4 102,4 102,4 102,4 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-29 1 1 102,43 102,43 102,43 102,43 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-30 1 1 102,43 102,43 102,43 102,43 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-03-31 1 1 102,43 102,43 102,43 102,43 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-01 1 1 102,44 102,44 102,44 102,44 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-04 1 1 102,45 102,45 102,45 102,45 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-05 1 1 102,46 102,46 102,46 102,46 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-06 1 1 102,46 102,46 102,46 102,46 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-07 1 1 102,46 102,46 102,46 102,46 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-08 1 1 102,47 102,47 102,47 102,47 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-11 1 1 102,48 102,48 102,48 102,48 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-12 1 1 102,49 102,49 102,49 102,49 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-13 1 1 102,49 102,49 102,49 102,49 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-14 1 1 102,5 102,5 102,5 102,5 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-15 1 1 102,5 102,5 102,5 102,5 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-18 1 1 102,52 102,52 102,52 102,52 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-19 1 1 102,52 102,52 102,52 102,52 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-20 1 1 102,52 102,52 102,52 102,52 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-21 1 1 102,53 102,53 102,53 102,53 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-22 1 1 102,53 102,53 102,53 102,53 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-25 1 1 102,55 102,55 102,55 102,55 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-26 1 1 102,55 102,55 102,55 102,55 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-27 1 1 102,56 102,56 102,56 102,56 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-28 1 1 102,56 102,56 102,56 102,56 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-04-29 1 1 102,57 102,57 102,57 102,57 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-02 1 1 102,59 102,59 102,59 102,59 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-03 1 1 102,59 102,59 102,59 102,59 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-04 1 1 102,6 102,6 102,6 102,6 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-06 1 1 102,61 102,61 102,61 102,61 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-09 1 1 102,62 102,62 102,62 102,62 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-10 1 1 102,63 102,63 102,63 102,63 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-11 1 1 102,63 102,63 102,63 102,63 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-12 1 1 102,64 102,64 102,64 102,64 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-13 1 1 102,64 102,64 102,64 102,64 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-16 1 1 102,66 102,66 102,66 102,66 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-17 1 1 102,66 102,66 102,66 102,66 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-18 1 1 102,67 102,67 102,67 102,67 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-19 1 1 102,68 102,68 102,68 102,68 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-20 1 1 102,67 102,67 102,67 102,67 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-23 1 1 102,69 102,69 102,69 102,69 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-24 1 1 102,69 102,69 102,69 102,69 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-25 1 1 102,7 102,7 102,7 102,7 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-26 1 1 102,7 102,7 102,7 102,7 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-27 1 1 102,71 102,71 102,71 102,71 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-30 1 1 102,72 102,72 102,72 102,72 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-05-31 1 1 102,72 102,72 102,72 102,72 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-01 1 1 102,73 102,73 102,73 102,73 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-02 1 1 101,66 101,66 101,66 101,66 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-03 1 1 101,67 101,67 101,67 101,67 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-07 1 1 101,69 101,69 101,69 101,69 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-08 1 1 101,7 101,7 101,7 101,7 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-09 1 1 101,71 101,71 101,71 101,71 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-10 1 1 101,71 101,71 101,71 101,71 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-13 1 1 101,73 101,73 101,73 101,73 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-14 1 1 101,73 101,73 101,73 101,73 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-15 1 1 101,73 101,73 101,73 101,73 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-16 1 1 101,74 101,74 101,74 101,74 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-17 1 1 101,75 101,75 101,75 101,75 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-20 1 1 101,76 101,76 101,76 101,76 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-21 1 1 101,78 101,78 101,78 101,78 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-22 1 1 101,79 101,79 101,79 101,79 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-23 1 1 101,79 101,79 101,79 101,79 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-27 1 1 101,8 101,8 101,8 101,8 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-28 1 1 101,8 101,8 101,8 101,8 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-29 1 1 101,81 101,81 101,81 101,81 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-06-30 1 1 101,81 101,81 101,81 101,81 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-01 1 1 101,81 101,81 101,81 101,81 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-04 1 1 101,82 101,82 101,82 101,82 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-05 1 1 101,82 101,82 101,82 101,82 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-06 1 1 101,82 101,82 101,82 101,82 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-07 1 1 101,83 101,83 101,83 101,83 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-08 1 1 101,83 101,83 101,83 101,83 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-11 1 1 101,84 101,84 101,84 101,84 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-12 1 1 101,84 101,84 101,84 101,84 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-13 1 1 101,84 101,84 101,84 101,84 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-14 1 1 101,85 101,85 101,85 101,85 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-15 1 1 101,87 101,87 101,87 101,87 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-18 1 1 101,88 101,88 101,88 101,88 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-19 1 1 101,88 101,88 101,88 101,88 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-20 1 1 101,89 101,89 101,89 101,89 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-21 1 1 101,89 101,89 101,89 101,89 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-22 1 1 101,89 101,89 101,89 101,89 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-25 1 1 101,9 101,9 101,9 101,9 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-26 1 1 101,91 101,91 101,91 101,91 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-27 1 1 101,91 101,91 101,91 101,91 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-28 1 1 101,91 101,91 101,91 101,91 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-07-29 1 1 101,91 101,91 101,91 101,91 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-01 1 1 101,91 101,91 101,91 101,91 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-02 1 1 101,91 101,91 101,91 101,91 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-03 1 1 101,91 101,91 101,91 101,91 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-04 1 1 101,92 101,92 101,92 101,92 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-05 1 1 101,92 101,92 101,92 101,92 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-08 1 1 101,93 101,93 101,93 101,93 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-09 1 1 101,93 101,93 101,93 101,93 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-10 1 1 101,94 101,94 101,94 101,94 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-11 1 1 101,94 101,94 101,94 101,94 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-12 1 1 101,94 101,94 101,94 101,94 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-15 1 1 101,96 101,96 101,96 101,96 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-16 1 1 101,96 101,96 101,96 101,96 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-17 1 1 101,96 101,96 101,96 101,96 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-18 1 1 101,96 101,96 101,96 101,96 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-19 1 1 101,96 101,96 101,96 101,96 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-22 1 1 101,97 101,97 101,97 101,97 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-23 1 1 101,98 101,98 101,98 101,98 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-24 1 1 101,98 101,98 101,98 101,98 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-25 1 1 101,98 101,98 101,98 101,98 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-26 1 1 101,98 101,98 101,98 101,98 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-29 1 1 101,99 101,99 101,99 101,99 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-30 1 1 101,99 101,99 101,99 101,99 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-08-31 1 1 102 102 102 102 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-01 1 1 102 102 102 102 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-02 1 1 102,01 102,01 102,01 102,01 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-05 1 1 102,02 102,02 102,02 102,02 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-06 1 1 102,02 102,02 102,02 102,02 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-07 1 1 102,02 102,02 102,02 102,02 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-08 1 1 102,03 102,03 102,03 102,03 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-09 1 1 102,03 102,03 102,03 102,03 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-12 1 1 102,03 102,03 102,03 102,03 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-13 1 1 102,04 102,04 102,04 102,04 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-14 1 1 102,04 102,04 102,04 102,04 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-15 1 1 102,04 102,04 102,04 102,04 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-16 1 1 102,04 102,04 102,04 102,04 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-19 1 1 102,05 102,05 102,05 102,05 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-20 1 1 102,06 102,06 102,06 102,06 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-21 1 1 102,06 102,06 102,06 102,06 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-22 1 1 102,07 102,07 102,07 102,07 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-23 1 1 102,07 102,07 102,07 102,07 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-26 1 1 102,07 102,07 102,07 102,07 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-27 1 1 102,08 102,08 102,08 102,08 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-28 1 1 102,08 102,08 102,08 102,08 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-29 1 1 102,08 102,08 102,08 102,08 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-09-30 1 1 102,08 102,08 102,08 102,08 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-03 1 1 102,08 102,08 102,08 102,08 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-04 1 1 102,08 102,08 102,08 102,08 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-05 1 1 102,09 102,09 102,09 102,09 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-06 1 1 102,09 102,09 102,09 102,09 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-07 1 1 102,09 102,09 102,09 102,09 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-10 1 1 102,1 102,1 102,1 102,1 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-11 1 1 102,11 102,11 102,11 102,11 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-12 1 1 102,11 102,11 102,11 102,11 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-13 1 1 102,12 102,12 102,12 102,12 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-14 1 1 102,12 102,12 102,12 102,12 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-17 1 1 102,13 102,13 102,13 102,13 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-18 1 1 102,14 102,14 102,14 102,14 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-19 1 1 102,14 102,14 102,14 102,14 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-20 1 1 102,15 102,15 102,15 102,15 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-21 1 1 102,15 102,15 102,15 102,15 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-24 1 1 102,16 102,16 102,16 102,16 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-25 1 1 102,16 102,16 102,16 102,16 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-26 1 1 102,16 102,16 102,16 102,16 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-27 1 1 102,16 102,16 102,16 102,16 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-28 1 1 102,17 102,17 102,17 102,17 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-10-31 1 1 102,18 102,18 102,18 102,18 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-01 1 1 102,18 102,18 102,18 102,18 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-02 1 1 102,17 102,17 102,17 102,17 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-03 1 1 102,18 102,18 102,18 102,18 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-04 1 1 102,18 102,18 102,18 102,18 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-07 1 1 102,19 102,19 102,19 102,19 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-08 1 1 102,19 102,19 102,19 102,19 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-09 1 1 102,19 102,19 102,19 102,19 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-10 1 1 102,19 102,19 102,19 102,19 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-11 1 1 102,2 102,2 102,2 102,2 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-14 1 1 102,2 102,2 102,2 102,2 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-15 1 1 102,21 102,21 102,21 102,21 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-16 1 1 102,21 102,21 102,21 102,21 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-17 1 1 102,22 102,22 102,22 102,22 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-18 1 1 102,21 102,21 102,21 102,21 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-21 1 1 102,22 102,22 102,22 102,22 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-22 1 1 102,23 102,23 102,23 102,23 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-23 1 1 102,23 102,23 102,23 102,23 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-24 1 1 102,24 102,24 102,24 102,24 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-25 1 1 102,23 102,23 102,23 102,23 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-28 1 1 102,24 102,24 102,24 102,24 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-29 1 1 102,25 102,25 102,25 102,25 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-11-30 1 1 102,25 102,25 102,25 102,25 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-01 1 1 102,25 102,25 102,25 102,25 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-02 1 1 102,25 102,25 102,25 102,25 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-05 1 1 102,25 102,25 102,25 102,25 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-06 1 1 102,25 102,25 102,25 102,25 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-07 1 1 102,26 102,26 102,26 102,26 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-08 1 1 102,26 102,26 102,26 102,26 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-12 1 1 102,27 102,27 102,27 102,27 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-13 1 1 102,28 102,28 102,28 102,28 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-14 1 1 102,28 102,28 102,28 102,28 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-15 1 1 102,28 102,28 102,28 102,28 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-16 1 1 102,29 102,29 102,29 102,29 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-19 1 1 102,3 102,3 102,3 102,3 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-20 1 1 102,3 102,3 102,3 102,3 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-21 1 1 102,3 102,3 102,3 102,3 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-22 1 1 102,31 102,31 102,31 102,31 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-23 1 1 102,31 102,31 102,31 102,31 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-27 1 1 102,32 102,32 102,32 102,32 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-28 1 1 102,33 102,33 102,33 102,33 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-29 1 1 102,33 102,33 102,33 102,33 654988 Catella Fondförvaltning AB Catella Likviditetsfond SEK 2005-12-30 1 1 102,33 102,33 102,33 102,33 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-03 1 1 168,89 168,89 168,89 168,89 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-04 1 1 169,85 169,85 169,85 169,85 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-05 1 1 168,39 168,39 168,39 168,39 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-07 1 1 168,79 168,79 168,79 168,79 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-10 1 1 170,89 170,89 170,89 170,89 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-11 1 1 169,52 169,52 169,52 169,52 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-12 1 1 166,55 166,55 166,55 166,55 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-13 1 1 166,64 166,64 166,64 166,64 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-14 1 1 167,33 167,33 167,33 167,33 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-17 1 1 168,86 168,86 168,86 168,86 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-18 1 1 168,24 168,24 168,24 168,24 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-19 1 1 168,68 168,68 168,68 168,68 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-20 1 1 166,97 166,97 166,97 166,97 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-21 1 1 166,54 166,54 166,54 166,54 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-24 1 1 164,96 164,96 164,96 164,96 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-25 1 1 166,95 166,95 166,95 166,95 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-26 1 1 166,79 166,79 166,79 166,79 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-27 1 1 167,87 167,87 167,87 167,87 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-28 1 1 167,15 167,15 167,15 167,15 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-01-31 1 1 168,27 168,27 168,27 168,27 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-01 1 1 169,55 169,55 169,55 169,55 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-02 1 1 170,86 170,86 170,86 170,86 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-03 1 1 170,3 170,3 170,3 170,3 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-04 1 1 172,18 172,18 172,18 172,18 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-07 1 1 173,55 173,55 173,55 173,55 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-08 1 1 173,93 173,93 173,93 173,93 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-09 1 1 175,04 175,04 175,04 175,04 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-10 1 1 172,8 172,8 172,8 172,8 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-11 1 1 174,3 174,3 174,3 174,3 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-14 1 1 174,71 174,71 174,71 174,71 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-15 1 1 176,1 176,1 176,1 176,1 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-16 1 1 174,46 174,46 174,46 174,46 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-17 1 1 174,97 174,97 174,97 174,97 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-18 1 1 173,84 173,84 173,84 173,84 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-21 1 1 174,36 174,36 174,36 174,36 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-22 1 1 173,53 173,53 173,53 173,53 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-23 1 1 173,63 173,63 173,63 173,63 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-24 1 1 174,43 174,43 174,43 174,43 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-25 1 1 175,68 175,68 175,68 175,68 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-02-28 1 1 176,9 176,9 176,9 176,9 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-01 1 1 176,78 176,78 176,78 176,78 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-02 1 1 177,13 177,13 177,13 177,13 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-03 1 1 177,97 177,97 177,97 177,97 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-04 1 1 179,44 179,44 179,44 179,44 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-07 1 1 179,17 179,17 179,17 179,17 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-08 1 1 178,3 178,3 178,3 178,3 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-09 1 1 177,93 177,93 177,93 177,93 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-10 1 1 176,4 176,4 176,4 176,4 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-11 1 1 177,36 177,36 177,36 177,36 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-14 1 1 177,44 177,44 177,44 177,44 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-15 1 1 178,17 178,17 178,17 178,17 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-16 1 1 176,69 176,69 176,69 176,69 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-17 1 1 176,28 176,28 176,28 176,28 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-18 1 1 176,04 176,04 176,04 176,04 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-21 1 1 175,57 175,57 175,57 175,57 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-22 1 1 176,73 176,73 176,73 176,73 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-23 1 1 176,24 176,24 176,24 176,24 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-24 1 1 177,39 177,39 177,39 177,39 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-29 1 1 176,96 176,96 176,96 176,96 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-30 1 1 175,93 175,93 175,93 175,93 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-03-31 1 1 177,36 177,36 177,36 177,36 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-01 1 1 178,44 178,44 178,44 178,44 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-04 1 1 177,93 177,93 177,93 177,93 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-05 1 1 179,25 179,25 179,25 179,25 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-06 1 1 180,52 180,52 180,52 180,52 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-07 1 1 181,01 181,01 181,01 181,01 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-08 1 1 181,48 181,48 181,48 181,48 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-11 1 1 182,12 182,12 182,12 182,12 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-12 1 1 181,91 181,91 181,91 181,91 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-13 1 1 183,07 183,07 183,07 183,07 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-14 1 1 183,37 183,37 183,37 183,37 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-15 1 1 180,54 180,54 180,54 180,54 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-18 1 1 178,02 178,02 178,02 178,02 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-19 1 1 178,47 178,47 178,47 178,47 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-20 1 1 178,91 178,91 178,91 178,91 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-21 1 1 178,87 178,87 178,87 178,87 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-22 1 1 180,63 180,63 180,63 180,63 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-25 1 1 180,3 180,3 180,3 180,3 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-26 1 1 178,71 178,71 178,71 178,71 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-27 1 1 174,82 174,82 174,82 174,82 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-28 1 1 173,53 173,53 173,53 173,53 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-04-29 1 1 173,9 173,9 173,9 173,9 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-02 1 1 175,56 175,56 175,56 175,56 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-03 1 1 174,97 174,97 174,97 174,97 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-04 1 1 175,74 175,74 175,74 175,74 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-06 1 1 177,55 177,55 177,55 177,55 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-09 1 1 177,92 177,92 177,92 177,92 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-10 1 1 176,94 176,94 176,94 176,94 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-11 1 1 177,1 177,1 177,1 177,1 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-12 1 1 178,79 178,79 178,79 178,79 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-13 1 1 179,58 179,58 179,58 179,58 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-16 1 1 180,04 180,04 180,04 180,04 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-17 1 1 180,23 180,23 180,23 180,23 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-18 1 1 182,22 182,22 182,22 182,22 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-19 1 1 182,71 182,71 182,71 182,71 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-20 1 1 182,98 182,98 182,98 182,98 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-23 1 1 183,4 183,4 183,4 183,4 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-24 1 1 183,35 183,35 183,35 183,35 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-25 1 1 183,69 183,69 183,69 183,69 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-26 1 1 184,74 184,74 184,74 184,74 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-27 1 1 185,36 185,36 185,36 185,36 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-30 1 1 185,61 185,61 185,61 185,61 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-05-31 1 1 186,13 186,13 186,13 186,13 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-01 1 1 185,98 185,98 185,98 185,98 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-02 1 1 185,52 185,52 185,52 185,52 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-03 1 1 184,52 184,52 184,52 184,52 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-07 1 1 182,69 182,69 182,69 182,69 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-08 1 1 183,8 183,8 183,8 183,8 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-09 1 1 183,85 183,85 183,85 183,85 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-10 1 1 184,72 184,72 184,72 184,72 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-13 1 1 185,69 185,69 185,69 185,69 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-14 1 1 186,28 186,28 186,28 186,28 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-15 1 1 185,83 185,83 185,83 185,83 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-16 1 1 186,48 186,48 186,48 186,48 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-17 1 1 187,71 187,71 187,71 187,71 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-20 1 1 187,31 187,31 187,31 187,31 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-21 1 1 188,69 188,69 188,69 188,69 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-22 1 1 189,78 189,78 189,78 189,78 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-23 1 1 190,89 190,89 190,89 190,89 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-27 1 1 187,77 187,77 187,77 187,77 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-28 1 1 188,78 188,78 188,78 188,78 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-29 1 1 190,04 190,04 190,04 190,04 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-06-30 1 1 189,97 189,97 189,97 189,97 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-01 1 1 190,96 190,96 190,96 190,96 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-04 1 1 191,7 191,7 191,7 191,7 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-05 1 1 191,56 191,56 191,56 191,56 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-06 1 1 192,39 192,39 192,39 192,39 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-07 1 1 188,91 188,91 188,91 188,91 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-08 1 1 191,32 191,32 191,32 191,32 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-11 1 1 194,25 194,25 194,25 194,25 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-12 1 1 194,51 194,51 194,51 194,51 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-13 1 1 195,87 195,87 195,87 195,87 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-14 1 1 196,08 196,08 196,08 196,08 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-15 1 1 195,37 195,37 195,37 195,37 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-18 1 1 195,66 195,66 195,66 195,66 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-19 1 1 195,92 195,92 195,92 195,92 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-20 1 1 195,13 195,13 195,13 195,13 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-21 1 1 196,23 196,23 196,23 196,23 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-22 1 1 196,4 196,4 196,4 196,4 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-25 1 1 195,94 195,94 195,94 195,94 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-26 1 1 196,81 196,81 196,81 196,81 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-27 1 1 197,46 197,46 197,46 197,46 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-28 1 1 198,61 198,61 198,61 198,61 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-07-29 1 1 198,69 198,69 198,69 198,69 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-01 1 1 198,87 198,87 198,87 198,87 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-02 1 1 199,87 199,87 199,87 199,87 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-03 1 1 200,07 200,07 200,07 200,07 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-04 1 1 199 199 199 199 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-05 1 1 198,05 198,05 198,05 198,05 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-08 1 1 198,03 198,03 198,03 198,03 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-09 1 1 198,23 198,23 198,23 198,23 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-10 1 1 200,28 200,28 200,28 200,28 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-11 1 1 199,72 199,72 199,72 199,72 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-12 1 1 198,5 198,5 198,5 198,5 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-15 1 1 198,54 198,54 198,54 198,54 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-16 1 1 199,32 199,32 199,32 199,32 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-17 1 1 197,59 197,59 197,59 197,59 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-18 1 1 198,3 198,3 198,3 198,3 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-19 1 1 199,66 199,66 199,66 199,66 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-22 1 1 199,51 199,51 199,51 199,51 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-23 1 1 198,86 198,86 198,86 198,86 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-24 1 1 196,27 196,27 196,27 196,27 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-25 1 1 193,64 193,64 193,64 193,64 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-26 1 1 192,71 192,71 192,71 192,71 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-29 1 1 193,5 193,5 193,5 193,5 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-30 1 1 193,43 193,43 193,43 193,43 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-08-31 1 1 194,42 194,42 194,42 194,42 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-01 1 1 195,14 195,14 195,14 195,14 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-02 1 1 194,86 194,86 194,86 194,86 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-05 1 1 195,99 195,99 195,99 195,99 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-06 1 1 197,4 197,4 197,4 197,4 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-07 1 1 197,92 197,92 197,92 197,92 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-08 1 1 197,23 197,23 197,23 197,23 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-09 1 1 198,63 198,63 198,63 198,63 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-12 1 1 198,78 198,78 198,78 198,78 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-13 1 1 199,04 199,04 199,04 199,04 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-14 1 1 199,83 199,83 199,83 199,83 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-15 1 1 199,66 199,66 199,66 199,66 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-16 1 1 200,16 200,16 200,16 200,16 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-19 1 1 201,09 201,09 201,09 201,09 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-20 1 1 200,87 200,87 200,87 200,87 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-21 1 1 199,47 199,47 199,47 199,47 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-22 1 1 199,36 199,36 199,36 199,36 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-23 1 1 199,49 199,49 199,49 199,49 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-26 1 1 201,89 201,89 201,89 201,89 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-27 1 1 202,35 202,35 202,35 202,35 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-28 1 1 204,44 204,44 204,44 204,44 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-29 1 1 204,61 204,61 204,61 204,61 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-09-30 1 1 205,93 205,93 205,93 205,93 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-03 1 1 207,17 207,17 207,17 207,17 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-04 1 1 206,78 206,78 206,78 206,78 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-05 1 1 206,04 206,04 206,04 206,04 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-06 1 1 204,19 204,19 204,19 204,19 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-07 1 1 204 204 204 204 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-10 1 1 205,34 205,34 205,34 205,34 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-11 1 1 204,95 204,95 204,95 204,95 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-12 1 1 203,4 203,4 203,4 203,4 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-13 1 1 201,02 201,02 201,02 201,02 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-14 1 1 200,64 200,64 200,64 200,64 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-17 1 1 200,47 200,47 200,47 200,47 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-18 1 1 199,72 199,72 199,72 199,72 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-19 1 1 196,79 196,79 196,79 196,79 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-20 1 1 197,46 197,46 197,46 197,46 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-21 1 1 195,8 195,8 195,8 195,8 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-24 1 1 198,32 198,32 198,32 198,32 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-25 1 1 199,92 199,92 199,92 199,92 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-26 1 1 200,44 200,44 200,44 200,44 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-27 1 1 198,83 198,83 198,83 198,83 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-28 1 1 198,23 198,23 198,23 198,23 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-10-31 1 1 202,39 202,39 202,39 202,39 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-01 1 1 203,15 203,15 203,15 203,15 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-02 1 1 203,52 203,52 203,52 203,52 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-03 1 1 205,95 205,95 205,95 205,95 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-04 1 1 205,85 205,85 205,85 205,85 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-07 1 1 206,65 206,65 206,65 206,65 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-08 1 1 206,82 206,82 206,82 206,82 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-09 1 1 207,27 207,27 207,27 207,27 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-10 1 1 207,64 207,64 207,64 207,64 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-11 1 1 209,97 209,97 209,97 209,97 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-14 1 1 210,09 210,09 210,09 210,09 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-15 1 1 210,65 210,65 210,65 210,65 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-16 1 1 211,14 211,14 211,14 211,14 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-17 1 1 212,06 212,06 212,06 212,06 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-18 1 1 213,52 213,52 213,52 213,52 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-21 1 1 213,29 213,29 213,29 213,29 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-22 1 1 213,82 213,82 213,82 213,82 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-23 1 1 214,31 214,31 214,31 214,31 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-24 1 1 213,91 213,91 213,91 213,91 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-25 1 1 214,65 214,65 214,65 214,65 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-28 1 1 214,59 214,59 214,59 214,59 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-29 1 1 215,06 215,06 215,06 215,06 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-11-30 1 1 213,93 213,93 213,93 213,93 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-01 1 1 215,44 215,44 215,44 215,44 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-02 1 1 217,23 217,23 217,23 217,23 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-05 1 1 216,14 216,14 216,14 216,14 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-06 1 1 217,41 217,41 217,41 217,41 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-07 1 1 218,08 218,08 218,08 218,08 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-08 1 1 217,92 217,92 217,92 217,92 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-12 1 1 218,98 218,98 218,98 218,98 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-13 1 1 218,94 218,94 218,94 218,94 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-14 1 1 219,41 219,41 219,41 219,41 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-15 1 1 219,01 219,01 219,01 219,01 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-16 1 1 220,31 220,31 220,31 220,31 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-19 1 1 221,35 221,35 221,35 221,35 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-20 1 1 221,41 221,41 221,41 221,41 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-21 1 1 223,22 223,22 223,22 223,22 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-22 1 1 224,07 224,07 224,07 224,07 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-23 1 1 225,59 225,59 225,59 225,59 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-27 1 1 226,28 226,28 226,28 226,28 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-28 1 1 226,49 226,49 226,49 226,49 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-29 1 1 227,53 227,53 227,53 227,53 220244 Catella Fondförvaltning AB Catella Reavinstfond SEK 2005-12-30 1 1 227,61 227,61 227,61 227,61 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-03 1 1 144,14 144,14 144,14 144,14 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-04 1 1 144,67 144,67 144,67 144,67 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-05 1 1 143,66 143,66 143,66 143,66 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-07 1 1 144,08 144,08 144,08 144,08 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-10 1 1 145,3 145,3 145,3 145,3 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-11 1 1 144,4 144,4 144,4 144,4 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-12 1 1 142,67 142,67 142,67 142,67 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-13 1 1 142,65 142,65 142,65 142,65 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-14 1 1 143,39 143,39 143,39 143,39 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-17 1 1 143,93 143,93 143,93 143,93 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-18 1 1 143,86 143,86 143,86 143,86 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-19 1 1 144,3 144,3 144,3 144,3 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-20 1 1 143,47 143,47 143,47 143,47 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-21 1 1 143,21 143,21 143,21 143,21 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-24 1 1 142,3 142,3 142,3 142,3 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-25 1 1 143,13 143,13 143,13 143,13 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-26 1 1 143,19 143,19 143,19 143,19 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-27 1 1 142,97 142,97 142,97 142,97 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-28 1 1 142,88 142,88 142,88 142,88 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-01-31 1 1 143,57 143,57 143,57 143,57 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-01 1 1 143,97 143,97 143,97 143,97 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-02 1 1 145,29 145,29 145,29 145,29 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-03 1 1 145,37 145,37 145,37 145,37 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-04 1 1 146,19 146,19 146,19 146,19 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-07 1 1 147,46 147,46 147,46 147,46 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-08 1 1 147,49 147,49 147,49 147,49 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-09 1 1 148,1 148,1 148,1 148,1 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-10 1 1 146,8 146,8 146,8 146,8 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-11 1 1 147,87 147,87 147,87 147,87 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-14 1 1 148,12 148,12 148,12 148,12 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-15 1 1 148,56 148,56 148,56 148,56 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-16 1 1 147,79 147,79 147,79 147,79 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-17 1 1 147,71 147,71 147,71 147,71 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-18 1 1 147,26 147,26 147,26 147,26 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-21 1 1 147,75 147,75 147,75 147,75 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-22 1 1 147,15 147,15 147,15 147,15 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-23 1 1 146,87 146,87 146,87 146,87 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-24 1 1 147,29 147,29 147,29 147,29 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-25 1 1 148,09 148,09 148,09 148,09 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-02-28 1 1 148,61 148,61 148,61 148,61 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-01 1 1 148,84 148,84 148,84 148,84 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-02 1 1 149,09 149,09 149,09 149,09 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-03 1 1 149,82 149,82 149,82 149,82 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-04 1 1 150,5 150,5 150,5 150,5 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-07 1 1 150,16 150,16 150,16 150,16 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-08 1 1 149,71 149,71 149,71 149,71 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-09 1 1 149,59 149,59 149,59 149,59 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-10 1 1 148,31 148,31 148,31 148,31 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-11 1 1 148,99 148,99 148,99 148,99 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-14 1 1 148,97 148,97 148,97 148,97 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-15 1 1 149,78 149,78 149,78 149,78 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-16 1 1 148,8 148,8 148,8 148,8 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-17 1 1 148,39 148,39 148,39 148,39 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-18 1 1 148,28 148,28 148,28 148,28 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-21 1 1 148,42 148,42 148,42 148,42 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-22 1 1 149,38 149,38 149,38 149,38 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-23 1 1 149,15 149,15 149,15 149,15 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-24 1 1 149,9 149,9 149,9 149,9 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-29 1 1 149,39 149,39 149,39 149,39 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-30 1 1 148,92 148,92 148,92 148,92 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-03-31 1 1 149,84 149,84 149,84 149,84 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-01 1 1 150,55 150,55 150,55 150,55 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-04 1 1 150,32 150,32 150,32 150,32 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-05 1 1 151,27 151,27 151,27 151,27 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-06 1 1 152,27 152,27 152,27 152,27 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-07 1 1 152,88 152,88 152,88 152,88 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-08 1 1 153,46 153,46 153,46 153,46 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-11 1 1 154,06 154,06 154,06 154,06 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-12 1 1 153,94 153,94 153,94 153,94 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-13 1 1 155,18 155,18 155,18 155,18 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-14 1 1 155,4 155,4 155,4 155,4 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-15 1 1 153,61 153,61 153,61 153,61 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-18 1 1 151,67 151,67 151,67 151,67 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-19 1 1 152,2 152,2 152,2 152,2 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-20 1 1 152,8 152,8 152,8 152,8 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-21 1 1 152,88 152,88 152,88 152,88 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-22 1 1 154,15 154,15 154,15 154,15 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-25 1 1 153,79 153,79 153,79 153,79 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-26 1 1 153,1 153,1 153,1 153,1 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-27 1 1 150,21 150,21 150,21 150,21 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-28 1 1 149,38 149,38 149,38 149,38 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-04-29 1 1 149,78 149,78 149,78 149,78 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-02 1 1 151,26 151,26 151,26 151,26 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-03 1 1 150,95 150,95 150,95 150,95 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-04 1 1 151,69 151,69 151,69 151,69 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-06 1 1 153,06 153,06 153,06 153,06 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-09 1 1 153,27 153,27 153,27 153,27 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-10 1 1 152,3 152,3 152,3 152,3 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-11 1 1 151,89 151,89 151,89 151,89 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-12 1 1 153,11 153,11 153,11 153,11 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-13 1 1 152,97 152,97 152,97 152,97 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-16 1 1 153,66 153,66 153,66 153,66 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-17 1 1 153,97 153,97 153,97 153,97 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-18 1 1 155,82 155,82 155,82 155,82 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-19 1 1 156,36 156,36 156,36 156,36 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-20 1 1 155,89 155,89 155,89 155,89 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-23 1 1 156,46 156,46 156,46 156,46 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-24 1 1 156,31 156,31 156,31 156,31 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-25 1 1 156,55 156,55 156,55 156,55 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-26 1 1 157,67 157,67 157,67 157,67 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-27 1 1 158,35 158,35 158,35 158,35 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-30 1 1 158,65 158,65 158,65 158,65 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-05-31 1 1 158,8 158,8 158,8 158,8 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-01 1 1 159,04 159,04 159,04 159,04 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-02 1 1 158,29 158,29 158,29 158,29 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-03 1 1 157,8 157,8 157,8 157,8 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-07 1 1 159,06 159,06 159,06 159,06 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-08 1 1 155,48 155,48 155,48 155,48 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-09 1 1 155,76 155,76 155,76 155,76 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-10 1 1 156,38 156,38 156,38 156,38 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-13 1 1 156,88 156,88 156,88 156,88 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-14 1 1 157,4 157,4 157,4 157,4 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-15 1 1 157,3 157,3 157,3 157,3 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-16 1 1 158,17 158,17 158,17 158,17 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-17 1 1 159,17 159,17 159,17 159,17 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-20 1 1 159,38 159,38 159,38 159,38 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-21 1 1 160,35 160,35 160,35 160,35 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-22 1 1 160,38 160,38 160,38 160,38 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-23 1 1 161,38 161,38 161,38 161,38 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-27 1 1 159,42 159,42 159,42 159,42 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-28 1 1 159,89 159,89 159,89 159,89 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-29 1 1 160,42 160,42 160,42 160,42 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-06-30 1 1 161,05 161,05 161,05 161,05 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-01 1 1 161,41 161,41 161,41 161,41 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-04 1 1 162,24 162,24 162,24 162,24 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-05 1 1 162,19 162,19 162,19 162,19 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-06 1 1 162,14 162,14 162,14 162,14 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-07 1 1 159,76 159,76 159,76 159,76 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-08 1 1 160,87 160,87 160,87 160,87 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-11 1 1 162,85 162,85 162,85 162,85 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-12 1 1 163,41 163,41 163,41 163,41 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-13 1 1 164,25 164,25 164,25 164,25 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-14 1 1 164,17 164,17 164,17 164,17 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-15 1 1 163,99 163,99 163,99 163,99 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-18 1 1 164,65 164,65 164,65 164,65 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-19 1 1 164,74 164,74 164,74 164,74 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-20 1 1 164,13 164,13 164,13 164,13 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-21 1 1 165,11 165,11 165,11 165,11 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-22 1 1 165,07 165,07 165,07 165,07 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-25 1 1 165,18 165,18 165,18 165,18 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-26 1 1 166,02 166,02 166,02 166,02 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-27 1 1 166,43 166,43 166,43 166,43 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-28 1 1 167,31 167,31 167,31 167,31 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-07-29 1 1 167,02 167,02 167,02 167,02 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-01 1 1 167,21 167,21 167,21 167,21 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-02 1 1 167,89 167,89 167,89 167,89 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-03 1 1 168,46 168,46 168,46 168,46 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-04 1 1 168 168 168 168 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-05 1 1 167,65 167,65 167,65 167,65 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-08 1 1 168,86 168,86 168,86 168,86 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-09 1 1 170,15 170,15 170,15 170,15 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-10 1 1 172,5 172,5 172,5 172,5 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-11 1 1 171,87 171,87 171,87 171,87 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-12 1 1 171,22 171,22 171,22 171,22 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-15 1 1 170,83 170,83 170,83 170,83 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-16 1 1 171,91 171,91 171,91 171,91 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-17 1 1 170,83 170,83 170,83 170,83 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-18 1 1 171,03 171,03 171,03 171,03 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-19 1 1 172,01 172,01 172,01 172,01 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-22 1 1 171,98 171,98 171,98 171,98 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-23 1 1 171,15 171,15 171,15 171,15 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-24 1 1 169,19 169,19 169,19 169,19 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-25 1 1 167,28 167,28 167,28 167,28 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-26 1 1 166,89 166,89 166,89 166,89 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-29 1 1 167,08 167,08 167,08 167,08 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-30 1 1 167,12 167,12 167,12 167,12 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-08-31 1 1 168,07 168,07 168,07 168,07 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-01 1 1 169,01 169,01 169,01 169,01 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-02 1 1 168,78 168,78 168,78 168,78 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-05 1 1 169,9 169,9 169,9 169,9 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-06 1 1 170,93 170,93 170,93 170,93 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-07 1 1 171,21 171,21 171,21 171,21 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-08 1 1 170,95 170,95 170,95 170,95 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-09 1 1 171,83 171,83 171,83 171,83 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-12 1 1 172,22 172,22 172,22 172,22 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-13 1 1 171,79 171,79 171,79 171,79 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-14 1 1 171,54 171,54 171,54 171,54 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-15 1 1 171,22 171,22 171,22 171,22 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-16 1 1 171,63 171,63 171,63 171,63 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-19 1 1 171,86 171,86 171,86 171,86 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-20 1 1 171,43 171,43 171,43 171,43 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-21 1 1 170,81 170,81 170,81 170,81 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-22 1 1 170,92 170,92 170,92 170,92 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-23 1 1 171,36 171,36 171,36 171,36 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-26 1 1 173,28 173,28 173,28 173,28 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-27 1 1 173,41 173,41 173,41 173,41 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-28 1 1 174,5 174,5 174,5 174,5 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-29 1 1 174,85 174,85 174,85 174,85 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-09-30 1 1 175,84 175,84 175,84 175,84 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-03 1 1 177,38 177,38 177,38 177,38 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-04 1 1 177,47 177,47 177,47 177,47 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-05 1 1 176,47 176,47 176,47 176,47 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-06 1 1 175,09 175,09 175,09 175,09 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-07 1 1 175,03 175,03 175,03 175,03 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-10 1 1 175,7 175,7 175,7 175,7 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-11 1 1 175,8 175,8 175,8 175,8 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-12 1 1 174,65 174,65 174,65 174,65 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-13 1 1 172,75 172,75 172,75 172,75 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-14 1 1 172,74 172,74 172,74 172,74 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-17 1 1 172,56 172,56 172,56 172,56 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-18 1 1 172,3 172,3 172,3 172,3 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-19 1 1 170,6 170,6 170,6 170,6 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-20 1 1 170,67 170,67 170,67 170,67 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-21 1 1 169,23 169,23 169,23 169,23 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-24 1 1 170,59 170,59 170,59 170,59 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-25 1 1 171,52 171,52 171,52 171,52 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-26 1 1 172,65 172,65 172,65 172,65 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-27 1 1 171,2 171,2 171,2 171,2 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-28 1 1 170,44 170,44 170,44 170,44 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-10-31 1 1 173,04 173,04 173,04 173,04 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-01 1 1 175,05 175,05 175,05 175,05 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-02 1 1 175,07 175,07 175,07 175,07 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-03 1 1 176,24 176,24 176,24 176,24 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-04 1 1 176,14 176,14 176,14 176,14 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-07 1 1 176,23 176,23 176,23 176,23 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-08 1 1 176,21 176,21 176,21 176,21 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-09 1 1 176,58 176,58 176,58 176,58 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-10 1 1 176,51 176,51 176,51 176,51 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-11 1 1 177,15 177,15 177,15 177,15 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-14 1 1 177,2 177,2 177,2 177,2 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-15 1 1 176,9 176,9 176,9 176,9 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-16 1 1 177,05 177,05 177,05 177,05 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-17 1 1 177,49 177,49 177,49 177,49 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-18 1 1 178,15 178,15 178,15 178,15 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-21 1 1 178,55 178,55 178,55 178,55 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-22 1 1 179,29 179,29 179,29 179,29 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-23 1 1 179,43 179,43 179,43 179,43 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-24 1 1 179,26 179,26 179,26 179,26 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-25 1 1 179,57 179,57 179,57 179,57 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-28 1 1 179,31 179,31 179,31 179,31 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-29 1 1 179,22 179,22 179,22 179,22 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-11-30 1 1 178,55 178,55 178,55 178,55 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-01 1 1 179,08 179,08 179,08 179,08 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-02 1 1 180,66 180,66 180,66 180,66 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-05 1 1 180,23 180,23 180,23 180,23 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-06 1 1 181,05 181,05 181,05 181,05 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-07 1 1 181 181 181 181 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-08 1 1 180,98 180,98 180,98 180,98 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-12 1 1 181,68 181,68 181,68 181,68 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-13 1 1 181,41 181,41 181,41 181,41 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-14 1 1 181,4 181,4 181,4 181,4 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-15 1 1 180,96 180,96 180,96 180,96 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-16 1 1 182,15 182,15 182,15 182,15 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-19 1 1 183,17 183,17 183,17 183,17 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-20 1 1 182,99 182,99 182,99 182,99 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-21 1 1 184,09 184,09 184,09 184,09 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-22 1 1 184,64 184,64 184,64 184,64 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-23 1 1 186,3 186,3 186,3 186,3 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-27 1 1 187,27 187,27 187,27 187,27 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-28 1 1 187,19 187,19 187,19 187,19 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-29 1 1 187,95 187,95 187,95 187,95 184416 Catella Fondförvaltning AB Catella Trygghetsfond SEK 2005-12-30 1 1 187,68 187,68 187,68 187,68 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-03 9,0065 9,0015 71,02 71,02 639,64163 639,28653 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-04 9,0345 9,0295 71 71 641,4495 641,0945 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-05 9,0615 9,0565 71 71 643,3665 643,0115 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-07 9,0615 9,0565 71,21 71,21 645,269415 644,913365 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-10 9,08619 9,08119 71,29 71,29 647,7544851 647,3980351 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-11 9,08619 9,08119 71,28 71,28 647,6636232 647,3072232 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-12 9,0455 9,0405 71,23 71,23 644,310965 643,954815 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-13 9,0505 9,0455 71,42 71,42 646,38671 646,02961 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-14 9,0455 9,0405 71,46 71,46 646,39143 646,03413 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-17 9,0685 9,0635 71,53 71,53 648,669805 648,312155 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-18 9,0585 9,0535 71,54 71,54 648,04509 647,68739 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-19 9,0225 9,0175 71,65 71,65 646,462125 646,103875 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-20 9,0315 9,0265 71,48 71,48 645,57162 645,21422 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-21 9,0505 9,0455 71,48 71,48 646,92974 646,57234 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-24 9,0655 9,0605 71,63 71,63 649,361765 649,003615 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-25 9,0715 9,0665 71,67 71,67 650,154405 649,796055 460725 IXIS Asset Management S.A. CDC Euro Bonds EUR 2005-01-26 9,0885 9,0835 71,62 71,62 650,91837 650,56027 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-03 1 1 104,413 104,413 104,413 104,413 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-04 1 1 104,4084 104,4084 104,4084 104,4084 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-05 1 1 104,3643 104,3643 104,3643 104,3643 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-07 1 1 104,4537 104,4537 104,4537 104,4537 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-10 1 1 104,4712 104,4712 104,4712 104,4712 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-11 1 1 104,4924 104,4924 104,4924 104,4924 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-12 1 1 104,4699 104,4699 104,4699 104,4699 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-13 1 1 104,5042 104,5042 104,5042 104,5042 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-14 1 1 104,4985 104,4985 104,4985 104,4985 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-17 1 1 104,4921 104,4921 104,4921 104,4921 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-18 1 1 104,5211 104,5211 104,5211 104,5211 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-19 1 1 104,5651 104,5651 104,5651 104,5651 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-20 1 1 104,5299 104,5299 104,5299 104,5299 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-21 1 1 104,5643 104,5643 104,5643 104,5643 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-24 1 1 104,6841 104,6841 104,6841 104,6841 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-25 1 1 104,6697 104,6697 104,6697 104,6697 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-26 1 1 104,6411 104,6411 104,6411 104,6411 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-27 1 1 104,6087 104,6087 104,6087 104,6087 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-28 1 1 104,6553 104,6553 104,6553 104,6553 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-01-31 1 1 104,7004 104,7004 104,7004 104,7004 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-01 1 1 104,6953 104,6953 104,6953 104,6953 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-02 1 1 104,6987 104,6987 104,6987 104,6987 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-03 1 1 104,6829 104,6829 104,6829 104,6829 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-04 1 1 104,7261 104,7261 104,7261 104,7261 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-07 1 1 104,739 104,739 104,739 104,739 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-08 1 1 104,7087 104,7087 104,7087 104,7087 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-09 1 1 104,7503 104,7503 104,7503 104,7503 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-10 1 1 104,8106 104,8106 104,8106 104,8106 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-11 1 1 104,8266 104,8266 104,8266 104,8266 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-14 1 1 104,8145 104,8145 104,8145 104,8145 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-15 1 1 104,7821 104,7821 104,7821 104,7821 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-16 1 1 104,8351 104,8351 104,8351 104,8351 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-17 1 1 104,8476 104,8476 104,8476 104,8476 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-18 1 1 104,7074 104,7074 104,7074 104,7074 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-21 1 1 104,7061 104,7061 104,7061 104,7061 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-22 1 1 104,6707 104,6707 104,6707 104,6707 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-23 1 1 104,7156 104,7156 104,7156 104,7156 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-24 1 1 104,6717 104,6717 104,6717 104,6717 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-25 1 1 104,6729 104,6729 104,6729 104,6729 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-02-28 1 1 104,6755 104,6755 104,6755 104,6755 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-01 1 1 104,6731 104,6731 104,6731 104,6731 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-02 1 1 104,6295 104,6295 104,6295 104,6295 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-03 1 1 104,6948 104,6948 104,6948 104,6948 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-04 1 1 104,7525 104,7525 104,7525 104,7525 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-07 1 1 104,8005 104,8005 104,8005 104,8005 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-08 1 1 104,8298 104,8298 104,8298 104,8298 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-09 1 1 104,8773 104,8773 104,8773 104,8773 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-10 1 1 104,815 104,815 104,815 104,815 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-11 1 1 104,7629 104,7629 104,7629 104,7629 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-14 1 1 104,7753 104,7753 104,7753 104,7753 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-15 1 1 104,9951 104,9951 104,9951 104,9951 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-16 1 1 104,9393 104,9393 104,9393 104,9393 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-17 1 1 104,9406 104,9406 104,9406 104,9406 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-18 1 1 104,9298 104,9298 104,9298 104,9298 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-21 1 1 104,909 104,909 104,909 104,909 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-22 1 1 104,8862 104,8862 104,8862 104,8862 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-23 1 1 104,8621 104,8621 104,8621 104,8621 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-24 1 1 104,9194 104,9194 104,9194 104,9194 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-29 1 1 104,9217 104,9217 104,9217 104,9217 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-30 1 1 104,9656 104,9656 104,9656 104,9656 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-03-31 1 1 105,0062 105,0062 105,0062 105,0062 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-01 1 1 105,0659 105,0659 105,0659 105,0659 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-04 1 1 105,0687 105,0687 105,0687 105,0687 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-05 1 1 105,0623 105,0623 105,0623 105,0623 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-06 1 1 105,0844 105,0844 105,0844 105,0844 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-07 1 1 105,0914 105,0914 105,0914 105,0914 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-08 1 1 105,071 105,071 105,071 105,071 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-11 1 1 105,1498 105,1498 105,1498 105,1498 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-12 1 1 105,1633 105,1633 105,1633 105,1633 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-13 1 1 105,1721 105,1721 105,1721 105,1721 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-14 1 1 105,1964 105,1964 105,1964 105,1964 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-15 1 1 105,266 105,266 105,266 105,266 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-18 1 1 105,3315 105,3315 105,3315 105,3315 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-19 1 1 105,2886 105,2886 105,2886 105,2886 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-20 1 1 105,3126 105,3126 105,3126 105,3126 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-21 1 1 105,3233 105,3233 105,3233 105,3233 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-22 1 1 105,3118 105,3118 105,3118 105,3118 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-25 1 1 105,3533 105,3533 105,3533 105,3533 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-26 1 1 105,3751 105,3751 105,3751 105,3751 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-27 1 1 105,3532 105,3532 105,3532 105,3532 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-28 1 1 105,4697 105,4697 105,4697 105,4697 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-04-29 1 1 105,4945 105,4945 105,4945 105,4945 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-02 1 1 105,4081 105,4081 105,4081 105,4081 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-03 1 1 105,4722 105,4722 105,4722 105,4722 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-04 1 1 105,4628 105,4628 105,4628 105,4628 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-06 1 1 105,4131 105,4131 105,4131 105,4131 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-09 1 1 105,4253 105,4253 105,4253 105,4253 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-10 1 1 105,5081 105,5081 105,5081 105,5081 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-11 1 1 105,498 105,498 105,498 105,498 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-12 1 1 105,5082 105,5082 105,5082 105,5082 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-13 1 1 105,5567 105,5567 105,5567 105,5567 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-16 1 1 105,5941 105,5941 105,5941 105,5941 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-17 1 1 105,606 105,606 105,606 105,606 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-18 1 1 105,6481 105,6481 105,6481 105,6481 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-19 1 1 105,6496 105,6496 105,6496 105,6496 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-20 1 1 105,5984 105,5984 105,5984 105,5984 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-23 1 1 105,621 105,621 105,621 105,621 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-24 1 1 105,6502 105,6502 105,6502 105,6502 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-25 1 1 105,6635 105,6635 105,6635 105,6635 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-26 1 1 105,6425 105,6425 105,6425 105,6425 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-27 1 1 105,6577 105,6577 105,6577 105,6577 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-30 1 1 105,534 105,534 105,534 105,534 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-05-31 1 1 105,7284 105,7284 105,7284 105,7284 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-01 1 1 105,7701 105,7701 105,7701 105,7701 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-02 1 1 105,8114 105,8114 105,8114 105,8114 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-03 1 1 105,8837 105,8837 105,8837 105,8837 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-07 1 1 105,9097 105,9097 105,9097 105,9097 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-08 1 1 106,0724 106,0724 106,0724 106,0724 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-09 1 1 106,0715 106,0715 106,0715 106,0715 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-10 1 1 106,1 106,1 106,1 106,1 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-13 1 1 106,1409 106,1409 106,1409 106,1409 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-14 1 1 106,0578 106,0578 106,0578 106,0578 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-15 1 1 106,0279 106,0279 106,0279 106,0279 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-16 1 1 106,0412 106,0412 106,0412 106,0412 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-17 1 1 106,095 106,095 106,095 106,095 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-20 1 1 106,1912 106,1912 106,1912 106,1912 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-21 1 1 106,3355 106,3355 106,3355 106,3355 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-22 1 1 106,4757 106,4757 106,4757 106,4757 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-23 1 1 106,403 106,403 106,403 106,403 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-27 1 1 104,0368 104,0368 104,0368 104,0368 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-28 1 1 104,0582 104,0582 104,0582 104,0582 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-29 1 1 103,9702 103,9702 103,9702 103,9702 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-06-30 1 1 103,8678 103,8678 103,8678 103,8678 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-01 1 1 103,9401 103,9401 103,9401 103,9401 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-04 1 1 103,8249 103,8249 103,8249 103,8249 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-05 1 1 103,7823 103,7823 103,7823 103,7823 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-06 1 1 103,807 103,807 103,807 103,807 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-07 1 1 103,806 103,806 103,806 103,806 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-08 1 1 103,897 103,897 103,897 103,897 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-11 1 1 103,8821 103,8821 103,8821 103,8821 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-12 1 1 103,7711 103,7711 103,7711 103,7711 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-13 1 1 103,748 103,748 103,748 103,748 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-14 1 1 103,7525 103,7525 103,7525 103,7525 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-15 1 1 103,7367 103,7367 103,7367 103,7367 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-18 1 1 103,7598 103,7598 103,7598 103,7598 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-19 1 1 103,7486 103,7486 103,7486 103,7486 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-20 1 1 103,7484 103,7484 103,7484 103,7484 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-21 1 1 103,7785 103,7785 103,7785 103,7785 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-22 1 1 103,8453 103,8453 103,8453 103,8453 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-25 1 1 103,8856 103,8856 103,8856 103,8856 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-26 1 1 103,9262 103,9262 103,9262 103,9262 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-27 1 1 103,9437 103,9437 103,9437 103,9437 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-28 1 1 103,8787 103,8787 103,8787 103,8787 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-07-29 1 1 103,8146 103,8146 103,8146 103,8146 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-01 1 1 103,609 103,609 103,609 103,609 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-02 1 1 103,6231 103,6231 103,6231 103,6231 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-03 1 1 103,4292 103,4292 103,4292 103,4292 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-04 1 1 103,4479 103,4479 103,4479 103,4479 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-05 1 1 103,4579 103,4579 103,4579 103,4579 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-08 1 1 103,3789 103,3789 103,3789 103,3789 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-09 1 1 103,3775 103,3775 103,3775 103,3775 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-10 1 1 103,4096 103,4096 103,4096 103,4096 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-11 1 1 103,4441 103,4441 103,4441 103,4441 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-12 1 1 103,4485 103,4485 103,4485 103,4485 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-15 1 1 103,4782 103,4782 103,4782 103,4782 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-16 1 1 103,478 103,478 103,478 103,478 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-17 1 1 103,5014 103,5014 103,5014 103,5014 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-18 1 1 103,4827 103,4827 103,4827 103,4827 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-19 1 1 103,5198 103,5198 103,5198 103,5198 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-22 1 1 103,4889 103,4889 103,4889 103,4889 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-23 1 1 103,5353 103,5353 103,5353 103,5353 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-24 1 1 103,5063 103,5063 103,5063 103,5063 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-25 1 1 103,506 103,506 103,506 103,506 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-26 1 1 103,5038 103,5038 103,5038 103,5038 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-29 1 1 103,4949 103,4949 103,4949 103,4949 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-30 1 1 103,4895 103,4895 103,4895 103,4895 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-08-31 1 1 103,5296 103,5296 103,5296 103,5296 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-01 1 1 103,5616 103,5616 103,5616 103,5616 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-02 1 1 103,5961 103,5961 103,5961 103,5961 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-05 1 1 103,6291 103,6291 103,6291 103,6291 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-06 1 1 103,6095 103,6095 103,6095 103,6095 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-07 1 1 103,6018 103,6018 103,6018 103,6018 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-08 1 1 103,6129 103,6129 103,6129 103,6129 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-09 1 1 103,6297 103,6297 103,6297 103,6297 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-12 1 1 103,5921 103,5921 103,5921 103,5921 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-13 1 1 103,5485 103,5485 103,5485 103,5485 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-14 1 1 103,5529 103,5529 103,5529 103,5529 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-15 1 1 103,5425 103,5425 103,5425 103,5425 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-16 1 1 103,5437 103,5437 103,5437 103,5437 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-19 1 1 103,5611 103,5611 103,5611 103,5611 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-20 1 1 103,646 103,646 103,646 103,646 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-21 1 1 103,6171 103,6171 103,6171 103,6171 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-22 1 1 103,5888 103,5888 103,5888 103,5888 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-23 1 1 103,5318 103,5318 103,5318 103,5318 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-26 1 1 103,5765 103,5765 103,5765 103,5765 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-27 1 1 103,5914 103,5914 103,5914 103,5914 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-28 1 1 103,569 103,569 103,569 103,569 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-29 1 1 103,5258 103,5258 103,5258 103,5258 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-09-30 1 1 103,5304 103,5304 103,5304 103,5304 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-03 1 1 103,52 103,52 103,52 103,52 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-04 1 1 103,3828 103,3828 103,3828 103,3828 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-05 1 1 103,3379 103,3379 103,3379 103,3379 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-06 1 1 103,502 103,502 103,502 103,502 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-07 1 1 103,4846 103,4846 103,4846 103,4846 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-10 1 1 103,4951 103,4951 103,4951 103,4951 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-11 1 1 103,4807 103,4807 103,4807 103,4807 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-12 1 1 103,4863 103,4863 103,4863 103,4863 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-13 1 1 103,5004 103,5004 103,5004 103,5004 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-14 1 1 103,5382 103,5382 103,5382 103,5382 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-17 1 1 103,5298 103,5298 103,5298 103,5298 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-18 1 1 103,5384 103,5384 103,5384 103,5384 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-19 1 1 103,5439 103,5439 103,5439 103,5439 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-20 1 1 103,582 103,582 103,582 103,582 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-21 1 1 103,5905 103,5905 103,5905 103,5905 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-24 1 1 103,5887 103,5887 103,5887 103,5887 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-25 1 1 103,5709 103,5709 103,5709 103,5709 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-26 1 1 103,5223 103,5223 103,5223 103,5223 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-27 1 1 103,5431 103,5431 103,5431 103,5431 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-28 1 1 103,5297 103,5297 103,5297 103,5297 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-10-31 1 1 103,5258 103,5258 103,5258 103,5258 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-01 1 1 103,5356 103,5356 103,5356 103,5356 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-02 1 1 103,5186 103,5186 103,5186 103,5186 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-03 1 1 103,5017 103,5017 103,5017 103,5017 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-04 1 1 103,4742 103,4742 103,4742 103,4742 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-07 1 1 103,4511 103,4511 103,4511 103,4511 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-08 1 1 103,4601 103,4601 103,4601 103,4601 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-09 1 1 103,4541 103,4541 103,4541 103,4541 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-10 1 1 103,4636 103,4636 103,4636 103,4636 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-11 1 1 103,4744 103,4744 103,4744 103,4744 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-14 1 1 103,4981 103,4981 103,4981 103,4981 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-15 1 1 103,4812 103,4812 103,4812 103,4812 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-16 1 1 103,4849 103,4849 103,4849 103,4849 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-17 1 1 103,4817 103,4817 103,4817 103,4817 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-18 1 1 103,5102 103,5102 103,5102 103,5102 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-21 1 1 103,461 103,461 103,461 103,461 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-22 1 1 103,4615 103,4615 103,4615 103,4615 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-23 1 1 103,5018 103,5018 103,5018 103,5018 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-24 1 1 103,5135 103,5135 103,5135 103,5135 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-25 1 1 103,5472 103,5472 103,5472 103,5472 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-28 1 1 103,5042 103,5042 103,5042 103,5042 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-29 1 1 103,522 103,522 103,522 103,522 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-11-30 1 1 103,5061 103,5061 103,5061 103,5061 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-01 1 1 103,5061 103,5061 103,5061 103,5061 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-02 1 1 103,49 103,49 103,49 103,49 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-05 1 1 103,4573 103,4573 103,4573 103,4573 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-06 1 1 103,4325 103,4325 103,4325 103,4325 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-07 1 1 103,43 103,43 103,43 103,43 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-08 1 1 103,442 103,442 103,442 103,442 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-12 1 1 103,4779 103,4779 103,4779 103,4779 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-13 1 1 103,4809 103,4809 103,4809 103,4809 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-14 1 1 103,507 103,507 103,507 103,507 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-15 1 1 103,5036 103,5036 103,5036 103,5036 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-16 1 1 103,5081 103,5081 103,5081 103,5081 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-19 1 1 103,6419 103,6419 103,6419 103,6419 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-20 1 1 103,6566 103,6566 103,6566 103,6566 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-21 1 1 103,6459 103,6459 103,6459 103,6459 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-22 1 1 103,6439 103,6439 103,6439 103,6439 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-23 1 1 103,6507 103,6507 103,6507 103,6507 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-27 1 1 103,6603 103,6603 103,6603 103,6603 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-28 1 1 103,6714 103,6714 103,6714 103,6714 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-29 1 1 103,6676 103,6676 103,6676 103,6676 384750 Cicero Fonder AB Cicero Avkastningsfond SEK 2005-12-30 1 1 103,6516 103,6516 103,6516 103,6516 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-03 1 1 63,4517 63,4517 63,4517 63,4517 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-04 1 1 63,8595 63,8595 63,8595 63,8595 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-05 1 1 63,2336 63,2336 63,2336 63,2336 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-07 1 1 63,3791 63,3791 63,3791 63,3791 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-10 1 1 64,6943 64,6943 64,6943 64,6943 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-11 1 1 63,1649 63,1649 63,1649 63,1649 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-12 1 1 62,2542 62,2542 62,2542 62,2542 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-13 1 1 62,7875 62,7875 62,7875 62,7875 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-14 1 1 62,5945 62,5945 62,5945 62,5945 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-17 1 1 63,1882 63,1882 63,1882 63,1882 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-18 1 1 63,5509 63,5509 63,5509 63,5509 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-19 1 1 63,7462 63,7462 63,7462 63,7462 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-20 1 1 63,737 63,737 63,737 63,737 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-21 1 1 63,7456 63,7456 63,7456 63,7456 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-24 1 1 63,5878 63,5878 63,5878 63,5878 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-25 1 1 64,1521 64,1521 64,1521 64,1521 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-26 1 1 64,2352 64,2352 64,2352 64,2352 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-27 1 1 64,5149 64,5149 64,5149 64,5149 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-28 1 1 64,5095 64,5095 64,5095 64,5095 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-01-31 1 1 64,5328 64,5328 64,5328 64,5328 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-01 1 1 64,6043 64,6043 64,6043 64,6043 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-02 1 1 64,6447 64,6447 64,6447 64,6447 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-03 1 1 64,803 64,803 64,803 64,803 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-04 1 1 65,2251 65,2251 65,2251 65,2251 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-07 1 1 65,7524 65,7524 65,7524 65,7524 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-08 1 1 65,7833 65,7833 65,7833 65,7833 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-09 1 1 65,1307 65,1307 65,1307 65,1307 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-10 1 1 64,4357 64,4357 64,4357 64,4357 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-11 1 1 64,5434 64,5434 64,5434 64,5434 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-14 1 1 64,7334 64,7334 64,7334 64,7334 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-15 1 1 64,9666 64,9666 64,9666 64,9666 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-16 1 1 64,9395 64,9395 64,9395 64,9395 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-17 1 1 65,0848 65,0848 65,0848 65,0848 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-18 1 1 64,5907 64,5907 64,5907 64,5907 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-21 1 1 64,527 64,527 64,527 64,527 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-22 1 1 64,0487 64,0487 64,0487 64,0487 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-23 1 1 63,9718 63,9718 63,9718 63,9718 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-24 1 1 63,9031 63,9031 63,9031 63,9031 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-25 1 1 64,4477 64,4477 64,4477 64,4477 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-02-28 1 1 61,977 61,977 61,977 61,977 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-01 1 1 62,0776 62,0776 62,0776 62,0776 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-02 1 1 62,6417 62,6417 62,6417 62,6417 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-03 1 1 62,3194 62,3194 62,3194 62,3194 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-04 1 1 61,8394 61,8394 61,8394 61,8394 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-07 1 1 61,8297 61,8297 61,8297 61,8297 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-08 1 1 60,8696 60,8696 60,8696 60,8696 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-09 1 1 61,3219 61,3219 61,3219 61,3219 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-10 1 1 60,8423 60,8423 60,8423 60,8423 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-11 1 1 60,7274 60,7274 60,7274 60,7274 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-14 1 1 60,8405 60,8405 60,8405 60,8405 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-15 1 1 62,4032 62,4032 62,4032 62,4032 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-16 1 1 62,0589 62,0589 62,0589 62,0589 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-17 1 1 61,9806 61,9806 61,9806 61,9806 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-18 1 1 62,6388 62,6388 62,6388 62,6388 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-21 1 1 63,4541 63,4541 63,4541 63,4541 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-22 1 1 63,9116 63,9116 63,9116 63,9116 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-23 1 1 64,3369 64,3369 64,3369 64,3369 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-24 1 1 64,5267 64,5267 64,5267 64,5267 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-29 1 1 64,4245 64,4245 64,4245 64,4245 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-30 1 1 63,8618 63,8618 63,8618 63,8618 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-03-31 1 1 63,8404 63,8404 63,8404 63,8404 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-01 1 1 64,4558 64,4558 64,4558 64,4558 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-04 1 1 63,7941 63,7941 63,7941 63,7941 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-05 1 1 64,3007 64,3007 64,3007 64,3007 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-06 1 1 65,018 65,018 65,018 65,018 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-07 1 1 65,2616 65,2616 65,2616 65,2616 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-08 1 1 65,8615 65,8615 65,8615 65,8615 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-11 1 1 64,7601 64,7601 64,7601 64,7601 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-12 1 1 64,6592 64,6592 64,6592 64,6592 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-13 1 1 65,3122 65,3122 65,3122 65,3122 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-14 1 1 65,7706 65,7706 65,7706 65,7706 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-15 1 1 65,9486 65,9486 65,9486 65,9486 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-18 1 1 65,105 65,105 65,105 65,105 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-19 1 1 65,2679 65,2679 65,2679 65,2679 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-20 1 1 65,4854 65,4854 65,4854 65,4854 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-21 1 1 65,5814 65,5814 65,5814 65,5814 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-22 1 1 65,7482 65,7482 65,7482 65,7482 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-25 1 1 65,715 65,715 65,715 65,715 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-26 1 1 66,1075 66,1075 66,1075 66,1075 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-27 1 1 65,0958 65,0958 65,0958 65,0958 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-28 1 1 64,5904 64,5904 64,5904 64,5904 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-04-29 1 1 64,3486 64,3486 64,3486 64,3486 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-02 1 1 65,6331 65,6331 65,6331 65,6331 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-03 1 1 65,99 65,99 65,99 65,99 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-04 1 1 66,1165 66,1165 66,1165 66,1165 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-06 1 1 66,8129 66,8129 66,8129 66,8129 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-09 1 1 66,7639 66,7639 66,7639 66,7639 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-10 1 1 67,2317 67,2317 67,2317 67,2317 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-11 1 1 67,2659 67,2659 67,2659 67,2659 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-12 1 1 68,4062 68,4062 68,4062 68,4062 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-13 1 1 68,0023 68,0023 68,0023 68,0023 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-16 1 1 67,4414 67,4414 67,4414 67,4414 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-17 1 1 67,5202 67,5202 67,5202 67,5202 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-18 1 1 67,9269 67,9269 67,9269 67,9269 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-19 1 1 68,0164 68,0164 68,0164 68,0164 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-20 1 1 67,9364 67,9364 67,9364 67,9364 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-23 1 1 67,9569 67,9569 67,9569 67,9569 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-24 1 1 68,3702 68,3702 68,3702 68,3702 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-25 1 1 67,8282 67,8282 67,8282 67,8282 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-26 1 1 68,5221 68,5221 68,5221 68,5221 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-27 1 1 68,5391 68,5391 68,5391 68,5391 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-30 1 1 69,0226 69,0226 69,0226 69,0226 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-05-31 1 1 69,1392 69,1392 69,1392 69,1392 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-01 1 1 69,9042 69,9042 69,9042 69,9042 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-02 1 1 69,2819 69,2819 69,2819 69,2819 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-03 1 1 68,8349 68,8349 68,8349 68,8349 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-07 1 1 68,5896 68,5896 68,5896 68,5896 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-08 1 1 67,6378 67,6378 67,6378 67,6378 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-09 1 1 68,2681 68,2681 68,2681 68,2681 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-10 1 1 69,3428 69,3428 69,3428 69,3428 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-13 1 1 70,173 70,173 70,173 70,173 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-14 1 1 69,7911 69,7911 69,7911 69,7911 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-15 1 1 69,4425 69,4425 69,4425 69,4425 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-16 1 1 69,4398 69,4398 69,4398 69,4398 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-17 1 1 71,0937 71,0937 71,0937 71,0937 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-20 1 1 71,5001 71,5001 71,5001 71,5001 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-21 1 1 71,0051 71,0051 71,0051 71,0051 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-22 1 1 70,7976 70,7976 70,7976 70,7976 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-23 1 1 70,8286 70,8286 70,8286 70,8286 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-27 1 1 70,1077 70,1077 70,1077 70,1077 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-28 1 1 70,9036 70,9036 70,9036 70,9036 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-29 1 1 70,7551 70,7551 70,7551 70,7551 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-06-30 1 1 71,985 71,985 71,985 71,985 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-01 1 1 72,1835 72,1835 72,1835 72,1835 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-04 1 1 72,5796 72,5796 72,5796 72,5796 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-05 1 1 72,7445 72,7445 72,7445 72,7445 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-06 1 1 73,5489 73,5489 73,5489 73,5489 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-07 1 1 72,7973 72,7973 72,7973 72,7973 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-08 1 1 74,0503 74,0503 74,0503 74,0503 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-11 1 1 75,6122 75,6122 75,6122 75,6122 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-12 1 1 74,59 74,59 74,59 74,59 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-13 1 1 74,447 74,447 74,447 74,447 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-14 1 1 75,0971 75,0971 75,0971 75,0971 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-15 1 1 75,7806 75,7806 75,7806 75,7806 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-18 1 1 75,8404 75,8404 75,8404 75,8404 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-19 1 1 76,6218 76,6218 76,6218 76,6218 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-20 1 1 78,0548 78,0548 78,0548 78,0548 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-21 1 1 77,7105 77,7105 77,7105 77,7105 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-22 1 1 77,1367 77,1367 77,1367 77,1367 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-25 1 1 76,7047 76,7047 76,7047 76,7047 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-26 1 1 77,4702 77,4702 77,4702 77,4702 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-27 1 1 77,3707 77,3707 77,3707 77,3707 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-28 1 1 77,4709 77,4709 77,4709 77,4709 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-07-29 1 1 77,6403 77,6403 77,6403 77,6403 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-01 1 1 77,3922 77,3922 77,3922 77,3922 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-02 1 1 78,1928 78,1928 78,1928 78,1928 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-03 1 1 77,8198 77,8198 77,8198 77,8198 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-04 1 1 76,647 76,647 76,647 76,647 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-05 1 1 76,308 76,308 76,308 76,308 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-08 1 1 76,1361 76,1361 76,1361 76,1361 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-09 1 1 76,4963 76,4963 76,4963 76,4963 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-10 1 1 77,3919 77,3919 77,3919 77,3919 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-11 1 1 76,7963 76,7963 76,7963 76,7963 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-12 1 1 76,6836 76,6836 76,6836 76,6836 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-15 1 1 76,502 76,502 76,502 76,502 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-16 1 1 77,2052 77,2052 77,2052 77,2052 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-17 1 1 77,3162 77,3162 77,3162 77,3162 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-18 1 1 77,5797 77,5797 77,5797 77,5797 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-19 1 1 78,1765 78,1765 78,1765 78,1765 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-22 1 1 78,2427 78,2427 78,2427 78,2427 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-23 1 1 78,0608 78,0608 78,0608 78,0608 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-24 1 1 76,9574 76,9574 76,9574 76,9574 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-25 1 1 76,5841 76,5841 76,5841 76,5841 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-26 1 1 76,5563 76,5563 76,5563 76,5563 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-29 1 1 76,9823 76,9823 76,9823 76,9823 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-30 1 1 77,6331 77,6331 77,6331 77,6331 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-08-31 1 1 78,2302 78,2302 78,2302 78,2302 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-01 1 1 78,7152 78,7152 78,7152 78,7152 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-02 1 1 78,442 78,442 78,442 78,442 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-05 1 1 78,3253 78,3253 78,3253 78,3253 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-06 1 1 79,3706 79,3706 79,3706 79,3706 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-07 1 1 79,07 79,07 79,07 79,07 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-08 1 1 79,6904 79,6904 79,6904 79,6904 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-09 1 1 79,7123 79,7123 79,7123 79,7123 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-12 1 1 80,4088 80,4088 80,4088 80,4088 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-13 1 1 80,2615 80,2615 80,2615 80,2615 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-14 1 1 80,1712 80,1712 80,1712 80,1712 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-15 1 1 79,9576 79,9576 79,9576 79,9576 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-16 1 1 80,0883 80,0883 80,0883 80,0883 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-19 1 1 80,7736 80,7736 80,7736 80,7736 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-20 1 1 80,8 80,8 80,8 80,8 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-21 1 1 79,8438 79,8438 79,8438 79,8438 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-22 1 1 79,4201 79,4201 79,4201 79,4201 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-23 1 1 79,5768 79,5768 79,5768 79,5768 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-26 1 1 80,3255 80,3255 80,3255 80,3255 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-27 1 1 80,1856 80,1856 80,1856 80,1856 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-28 1 1 80,0237 80,0237 80,0237 80,0237 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-29 1 1 79,8029 79,8029 79,8029 79,8029 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-09-30 1 1 80,235 80,235 80,235 80,235 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-03 1 1 81,1655 81,1655 81,1655 81,1655 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-04 1 1 81,7172 81,7172 81,7172 81,7172 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-05 1 1 79,9671 79,9671 79,9671 79,9671 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-06 1 1 77,74 77,74 77,74 77,74 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-07 1 1 77,303 77,303 77,303 77,303 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-10 1 1 77,6495 77,6495 77,6495 77,6495 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-11 1 1 78,0347 78,0347 78,0347 78,0347 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-12 1 1 76,4715 76,4715 76,4715 76,4715 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-13 1 1 75,7363 75,7363 75,7363 75,7363 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-14 1 1 76,7092 76,7092 76,7092 76,7092 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-17 1 1 77,2397 77,2397 77,2397 77,2397 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-18 1 1 77,3876 77,3876 77,3876 77,3876 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-19 1 1 76,0786 76,0786 76,0786 76,0786 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-20 1 1 76,6185 76,6185 76,6185 76,6185 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-21 1 1 76,034 76,034 76,034 76,034 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-24 1 1 77,1049 77,1049 77,1049 77,1049 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-25 1 1 77,4224 77,4224 77,4224 77,4224 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-26 1 1 77,9137 77,9137 77,9137 77,9137 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-27 1 1 76,4284 76,4284 76,4284 76,4284 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-28 1 1 76,2355 76,2355 76,2355 76,2355 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-10-31 1 1 78,321 78,321 78,321 78,321 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-01 1 1 78,7012 78,7012 78,7012 78,7012 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-02 1 1 79,1429 79,1429 79,1429 79,1429 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-03 1 1 80,4551 80,4551 80,4551 80,4551 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-04 1 1 81,0212 81,0212 81,0212 81,0212 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-07 1 1 82,0148 82,0148 82,0148 82,0148 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-08 1 1 81,7636 81,7636 81,7636 81,7636 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-09 1 1 82,4091 82,4091 82,4091 82,4091 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-10 1 1 82,742 82,742 82,742 82,742 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-11 1 1 83,4468 83,4468 83,4468 83,4468 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-14 1 1 83,7754 83,7754 83,7754 83,7754 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-15 1 1 83,9714 83,9714 83,9714 83,9714 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-16 1 1 83,6719 83,6719 83,6719 83,6719 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-17 1 1 83,968 83,968 83,968 83,968 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-18 1 1 85,0026 85,0026 85,0026 85,0026 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-21 1 1 84,1503 84,1503 84,1503 84,1503 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-22 1 1 84,8456 84,8456 84,8456 84,8456 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-23 1 1 84,4104 84,4104 84,4104 84,4104 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-24 1 1 84,4123 84,4123 84,4123 84,4123 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-25 1 1 84,3922 84,3922 84,3922 84,3922 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-28 1 1 83,6772 83,6772 83,6772 83,6772 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-29 1 1 83,5929 83,5929 83,5929 83,5929 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-11-30 1 1 83,2951 83,2951 83,2951 83,2951 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-01 1 1 84,3158 84,3158 84,3158 84,3158 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-02 1 1 83,8455 83,8455 83,8455 83,8455 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-05 1 1 83,6136 83,6136 83,6136 83,6136 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-06 1 1 83,7391 83,7391 83,7391 83,7391 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-07 1 1 83,6528 83,6528 83,6528 83,6528 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-08 1 1 83,2052 83,2052 83,2052 83,2052 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-12 1 1 83,1162 83,1162 83,1162 83,1162 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-13 1 1 82,2147 82,2147 82,2147 82,2147 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-14 1 1 82,0307 82,0307 82,0307 82,0307 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-15 1 1 82,4452 82,4452 82,4452 82,4452 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-16 1 1 82,891 82,891 82,891 82,891 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-19 1 1 82,2191 82,2191 82,2191 82,2191 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-20 1 1 82,0401 82,0401 82,0401 82,0401 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-21 1 1 83,2505 83,2505 83,2505 83,2505 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-22 1 1 84,4827 84,4827 84,4827 84,4827 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-23 1 1 85,777 85,777 85,777 85,777 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-27 1 1 86,3526 86,3526 86,3526 86,3526 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-28 1 1 85,4107 85,4107 85,4107 85,4107 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-29 1 1 86,0299 86,0299 86,0299 86,0299 631960 Cicero Fonder AB Cicero Biotech & Healthcare SEK 2005-12-30 1 1 85,2085 85,2085 85,2085 85,2085 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-03 1 1 93,3097 93,3097 93,3097 93,3097 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-04 1 1 93,9138 93,9138 93,9138 93,9138 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-05 1 1 92,9854 92,9854 92,9854 92,9854 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-07 1 1 93,0775 93,0775 93,0775 93,0775 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-10 1 1 94,3124 94,3124 94,3124 94,3124 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-11 1 1 93,4004 93,4004 93,4004 93,4004 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-12 1 1 91,71 91,71 91,71 91,71 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-13 1 1 91,8921 91,8921 91,8921 91,8921 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-14 1 1 92,269 92,269 92,269 92,269 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-17 1 1 92,9318 92,9318 92,9318 92,9318 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-18 1 1 92,7367 92,7367 92,7367 92,7367 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-19 1 1 92,9938 92,9938 92,9938 92,9938 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-20 1 1 91,9531 91,9531 91,9531 91,9531 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-21 1 1 91,7209 91,7209 91,7209 91,7209 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-24 1 1 90,7441 90,7441 90,7441 90,7441 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-25 1 1 91,9254 91,9254 91,9254 91,9254 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-26 1 1 91,9085 91,9085 91,9085 91,9085 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-27 1 1 91,8211 91,8211 91,8211 91,8211 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-28 1 1 91,8508 91,8508 91,8508 91,8508 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-01-31 1 1 92,4635 92,4635 92,4635 92,4635 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-01 1 1 92,8681 92,8681 92,8681 92,8681 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-02 1 1 93,3094 93,3094 93,3094 93,3094 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-03 1 1 93,1364 93,1364 93,1364 93,1364 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-04 1 1 94,1405 94,1405 94,1405 94,1405 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-07 1 1 94,9082 94,9082 94,9082 94,9082 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-08 1 1 95,1289 95,1289 95,1289 95,1289 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-09 1 1 95,2241 95,2241 95,2241 95,2241 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-10 1 1 94,2912 94,2912 94,2912 94,2912 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-11 1 1 94,9522 94,9522 94,9522 94,9522 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-14 1 1 95,2186 95,2186 95,2186 95,2186 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-15 1 1 95,7153 95,7153 95,7153 95,7153 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-16 1 1 94,8458 94,8458 94,8458 94,8458 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-17 1 1 94,9763 94,9763 94,9763 94,9763 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-18 1 1 94,5144 94,5144 94,5144 94,5144 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-21 1 1 94,894 94,894 94,894 94,894 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-22 1 1 94,9227 94,9227 94,9227 94,9227 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-23 1 1 94,8723 94,8723 94,8723 94,8723 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-24 1 1 95,3777 95,3777 95,3777 95,3777 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-25 1 1 95,9904 95,9904 95,9904 95,9904 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-02-28 1 1 96,4462 96,4462 96,4462 96,4462 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-01 1 1 96,6654 96,6654 96,6654 96,6654 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-02 1 1 96,604 96,604 96,604 96,604 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-03 1 1 97,1458 97,1458 97,1458 97,1458 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-04 1 1 97,7615 97,7615 97,7615 97,7615 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-07 1 1 97,5295 97,5295 97,5295 97,5295 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-08 1 1 96,9532 96,9532 96,9532 96,9532 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-09 1 1 97,0763 97,0763 97,0763 97,0763 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-10 1 1 96,4021 96,4021 96,4021 96,4021 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-11 1 1 96,9581 96,9581 96,9581 96,9581 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-14 1 1 96,9372 96,9372 96,9372 96,9372 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-15 1 1 97,5646 97,5646 97,5646 97,5646 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-16 1 1 96,745 96,745 96,745 96,745 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-17 1 1 96,45 96,45 96,45 96,45 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-18 1 1 96,6421 96,6421 96,6421 96,6421 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-21 1 1 96,4186 96,4186 96,4186 96,4186 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-22 1 1 97,3792 97,3792 97,3792 97,3792 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-23 1 1 97,0227 97,0227 97,0227 97,0227 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-24 1 1 97,468 97,468 97,468 97,468 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-29 1 1 97,4185 97,4185 97,4185 97,4185 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-30 1 1 97,0524 97,0524 97,0524 97,0524 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-03-31 1 1 97,9625 97,9625 97,9625 97,9625 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-01 1 1 98,7296 98,7296 98,7296 98,7296 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-04 1 1 98,9059 98,9059 98,9059 98,9059 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-05 1 1 99,3594 99,3594 99,3594 99,3594 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-06 1 1 100,255 100,255 100,255 100,255 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-07 1 1 100,1101 100,1101 100,1101 100,1101 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-08 1 1 100,6567 100,6567 100,6567 100,6567 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-11 1 1 100,8284 100,8284 100,8284 100,8284 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-12 1 1 100,5064 100,5064 100,5064 100,5064 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-13 1 1 101,1172 101,1172 101,1172 101,1172 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-14 1 1 101,6209 101,6209 101,6209 101,6209 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-15 1 1 100,3494 100,3494 100,3494 100,3494 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-18 1 1 99,1559 99,1559 99,1559 99,1559 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-19 1 1 99,1952 99,1952 99,1952 99,1952 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-20 1 1 99,4905 99,4905 99,4905 99,4905 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-21 1 1 99,2939 99,2939 99,2939 99,2939 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-22 1 1 100,0534 100,0534 100,0534 100,0534 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-25 1 1 99,9797 99,9797 99,9797 99,9797 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-26 1 1 99,2232 99,2232 99,2232 99,2232 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-27 1 1 97,6002 97,6002 97,6002 97,6002 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-28 1 1 96,7761 96,7761 96,7761 96,7761 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-04-29 1 1 97,2038 97,2038 97,2038 97,2038 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-02 1 1 97,3509 97,3509 97,3509 97,3509 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-03 1 1 98,0892 98,0892 98,0892 98,0892 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-04 1 1 98,5055 98,5055 98,5055 98,5055 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-06 1 1 99,6289 99,6289 99,6289 99,6289 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-09 1 1 99,5725 99,5725 99,5725 99,5725 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-10 1 1 98,8352 98,8352 98,8352 98,8352 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-11 1 1 98,7554 98,7554 98,7554 98,7554 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-12 1 1 99,2672 99,2672 99,2672 99,2672 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-13 1 1 99,7079 99,7079 99,7079 99,7079 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-16 1 1 99,9656 99,9656 99,9656 99,9656 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-17 1 1 100,1463 100,1463 100,1463 100,1463 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-18 1 1 100,7679 100,7679 100,7679 100,7679 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-19 1 1 101,2175 101,2175 101,2175 101,2175 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-20 1 1 101,4606 101,4606 101,4606 101,4606 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-23 1 1 101,528 101,528 101,528 101,528 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-24 1 1 101,6901 101,6901 101,6901 101,6901 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-25 1 1 101,3937 101,3937 101,3937 101,3937 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-26 1 1 102,103 102,103 102,103 102,103 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-27 1 1 102,2081 102,2081 102,2081 102,2081 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-30 1 1 102,548 102,548 102,548 102,548 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-05-31 1 1 102,9193 102,9193 102,9193 102,9193 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-01 1 1 102,9174 102,9174 102,9174 102,9174 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-02 1 1 102,4033 102,4033 102,4033 102,4033 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-03 1 1 101,8057 101,8057 101,8057 101,8057 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-07 1 1 102,5709 102,5709 102,5709 102,5709 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-08 1 1 103,0103 103,0103 103,0103 103,0103 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-09 1 1 103,1648 103,1648 103,1648 103,1648 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-10 1 1 103,6659 103,6659 103,6659 103,6659 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-13 1 1 103,8697 103,8697 103,8697 103,8697 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-14 1 1 104,2244 104,2244 104,2244 104,2244 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-15 1 1 103,5924 103,5924 103,5924 103,5924 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-16 1 1 104,1053 104,1053 104,1053 104,1053 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-17 1 1 104,5846 104,5846 104,5846 104,5846 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-20 1 1 104,4552 104,4552 104,4552 104,4552 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-21 1 1 105,0977 105,0977 105,0977 105,0977 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-22 1 1 105,4617 105,4617 105,4617 105,4617 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-23 1 1 106,0296 106,0296 106,0296 106,0296 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-27 1 1 103,5902 103,5902 103,5902 103,5902 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-28 1 1 104,1763 104,1763 104,1763 104,1763 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-29 1 1 105,2146 105,2146 105,2146 105,2146 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-06-30 1 1 105,5443 105,5443 105,5443 105,5443 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-01 1 1 105,9954 105,9954 105,9954 105,9954 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-04 1 1 106,5239 106,5239 106,5239 106,5239 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-05 1 1 106,4811 106,4811 106,4811 106,4811 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-06 1 1 106,4333 106,4333 106,4333 106,4333 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-07 1 1 104,8555 104,8555 104,8555 104,8555 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-08 1 1 106,3034 106,3034 106,3034 106,3034 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-11 1 1 107,989 107,989 107,989 107,989 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-12 1 1 107,8704 107,8704 107,8704 107,8704 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-13 1 1 108,3462 108,3462 108,3462 108,3462 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-14 1 1 108,5756 108,5756 108,5756 108,5756 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-15 1 1 108,0917 108,0917 108,0917 108,0917 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-18 1 1 108,2109 108,2109 108,2109 108,2109 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-19 1 1 108,3504 108,3504 108,3504 108,3504 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-20 1 1 108,1589 108,1589 108,1589 108,1589 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-21 1 1 108,3229 108,3229 108,3229 108,3229 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-22 1 1 108,7159 108,7159 108,7159 108,7159 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-25 1 1 108,5439 108,5439 108,5439 108,5439 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-26 1 1 109,0502 109,0502 109,0502 109,0502 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-27 1 1 109,4414 109,4414 109,4414 109,4414 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-28 1 1 110,0106 110,0106 110,0106 110,0106 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-07-29 1 1 110,5877 110,5877 110,5877 110,5877 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-01 1 1 110,1882 110,1882 110,1882 110,1882 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-02 1 1 110,8355 110,8355 110,8355 110,8355 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-03 1 1 110,7552 110,7552 110,7552 110,7552 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-04 1 1 110,4432 110,4432 110,4432 110,4432 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-05 1 1 110,1366 110,1366 110,1366 110,1366 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-08 1 1 109,8271 109,8271 109,8271 109,8271 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-09 1 1 110,3034 110,3034 110,3034 110,3034 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-10 1 1 111,8999 111,8999 111,8999 111,8999 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-11 1 1 111,6021 111,6021 111,6021 111,6021 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-12 1 1 111,146 111,146 111,146 111,146 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-15 1 1 110,9212 110,9212 110,9212 110,9212 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-16 1 1 111,1466 111,1466 111,1466 111,1466 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-17 1 1 110,5805 110,5805 110,5805 110,5805 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-18 1 1 110,8961 110,8961 110,8961 110,8961 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-19 1 1 111,6847 111,6847 111,6847 111,6847 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-22 1 1 111,69 111,69 111,69 111,69 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-23 1 1 111,3515 111,3515 111,3515 111,3515 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-24 1 1 109,7419 109,7419 109,7419 109,7419 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-25 1 1 108,8242 108,8242 108,8242 108,8242 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-26 1 1 108,2655 108,2655 108,2655 108,2655 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-29 1 1 109,0162 109,0162 109,0162 109,0162 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-30 1 1 109,1983 109,1983 109,1983 109,1983 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-08-31 1 1 109,8434 109,8434 109,8434 109,8434 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-01 1 1 110,4125 110,4125 110,4125 110,4125 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-02 1 1 110,6251 110,6251 110,6251 110,6251 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-05 1 1 111,2399 111,2399 111,2399 111,2399 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-06 1 1 112,0028 112,0028 112,0028 112,0028 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-07 1 1 112,2567 112,2567 112,2567 112,2567 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-08 1 1 112,0974 112,0974 112,0974 112,0974 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-09 1 1 112,5397 112,5397 112,5397 112,5397 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-12 1 1 112,8711 112,8711 112,8711 112,8711 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-13 1 1 112,7244 112,7244 112,7244 112,7244 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-14 1 1 113,1283 113,1283 113,1283 113,1283 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-15 1 1 112,8076 112,8076 112,8076 112,8076 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-16 1 1 113,1301 113,1301 113,1301 113,1301 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-19 1 1 113,6893 113,6893 113,6893 113,6893 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-20 1 1 113,8263 113,8263 113,8263 113,8263 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-21 1 1 113,0183 113,0183 113,0183 113,0183 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-22 1 1 113,1314 113,1314 113,1314 113,1314 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-23 1 1 113,1614 113,1614 113,1614 113,1614 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-26 1 1 114,4455 114,4455 114,4455 114,4455 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-27 1 1 115,026 115,026 115,026 115,026 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-28 1 1 115,6401 115,6401 115,6401 115,6401 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-29 1 1 116,0018 116,0018 116,0018 116,0018 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-09-30 1 1 116,9014 116,9014 116,9014 116,9014 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-03 1 1 117,5118 117,5118 117,5118 117,5118 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-04 1 1 117,403 117,403 117,403 117,403 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-05 1 1 116,6923 116,6923 116,6923 116,6923 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-06 1 1 115,6539 115,6539 115,6539 115,6539 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-07 1 1 115,6825 115,6825 115,6825 115,6825 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-10 1 1 116,2374 116,2374 116,2374 116,2374 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-11 1 1 116,1993 116,1993 116,1993 116,1993 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-12 1 1 115,5498 115,5498 115,5498 115,5498 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-13 1 1 114,0896 114,0896 114,0896 114,0896 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-14 1 1 114,0027 114,0027 114,0027 114,0027 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-17 1 1 113,9972 113,9972 113,9972 113,9972 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-18 1 1 113,3322 113,3322 113,3322 113,3322 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-19 1 1 111,6242 111,6242 111,6242 111,6242 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-20 1 1 111,958 111,958 111,958 111,958 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-21 1 1 111,087 111,087 111,087 111,087 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-24 1 1 112,5764 112,5764 112,5764 112,5764 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-25 1 1 113,3846 113,3846 113,3846 113,3846 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-26 1 1 113,5492 113,5492 113,5492 113,5492 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-27 1 1 112,715 112,715 112,715 112,715 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-28 1 1 112,5452 112,5452 112,5452 112,5452 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-10-31 1 1 114,518 114,518 114,518 114,518 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-01 1 1 115,091 115,091 115,091 115,091 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-02 1 1 115,3638 115,3638 115,3638 115,3638 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-03 1 1 116,6141 116,6141 116,6141 116,6141 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-04 1 1 116,5165 116,5165 116,5165 116,5165 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-07 1 1 117,1882 117,1882 117,1882 117,1882 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-08 1 1 117,0782 117,0782 117,0782 117,0782 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-09 1 1 117,1913 117,1913 117,1913 117,1913 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-10 1 1 117,4691 117,4691 117,4691 117,4691 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-11 1 1 118,3963 118,3963 118,3963 118,3963 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-14 1 1 118,7474 118,7474 118,7474 118,7474 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-15 1 1 118,1793 118,1793 118,1793 118,1793 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-16 1 1 118,1197 118,1197 118,1197 118,1197 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-17 1 1 118,4199 118,4199 118,4199 118,4199 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-18 1 1 118,7829 118,7829 118,7829 118,7829 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-21 1 1 118,6437 118,6437 118,6437 118,6437 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-22 1 1 118,6762 118,6762 118,6762 118,6762 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-23 1 1 119,0771 119,0771 119,0771 119,0771 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-24 1 1 118,8217 118,8217 118,8217 118,8217 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-25 1 1 119,4907 119,4907 119,4907 119,4907 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-28 1 1 119,8201 119,8201 119,8201 119,8201 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-29 1 1 119,7043 119,7043 119,7043 119,7043 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-11-30 1 1 118,8858 118,8858 118,8858 118,8858 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-01 1 1 119,993 119,993 119,993 119,993 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-02 1 1 121,0739 121,0739 121,0739 121,0739 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-05 1 1 120,3756 120,3756 120,3756 120,3756 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-06 1 1 121,452 121,452 121,452 121,452 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-07 1 1 121,6146 121,6146 121,6146 121,6146 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-08 1 1 122,0425 122,0425 122,0425 122,0425 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-12 1 1 122,2536 122,2536 122,2536 122,2536 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-13 1 1 121,9821 121,9821 121,9821 121,9821 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-14 1 1 121,8606 121,8606 121,8606 121,8606 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-15 1 1 121,4748 121,4748 121,4748 121,4748 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-16 1 1 122,2624 122,2624 122,2624 122,2624 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-19 1 1 122,7239 122,7239 122,7239 122,7239 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-20 1 1 122,8922 122,8922 122,8922 122,8922 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-21 1 1 123,6087 123,6087 123,6087 123,6087 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-22 1 1 124,0575 124,0575 124,0575 124,0575 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-23 1 1 124,8065 124,8065 124,8065 124,8065 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-27 1 1 125,3168 125,3168 125,3168 125,3168 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-28 1 1 125,2863 125,2863 125,2863 125,2863 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-29 1 1 125,352 125,352 125,352 125,352 739458 Cicero Fonder AB Cicero Sverige Fond SEK 2005-12-30 1 1 125,0055 125,0055 125,0055 125,0055 855973 Cicero Fonder AB Cicero World Wide SEK 2005-06-21 1 1 100 100 100 100 855973 Cicero Fonder AB Cicero World Wide SEK 2005-06-22 1 1 100,1272 100,1272 100,1272 100,1272 855973 Cicero Fonder AB Cicero World Wide SEK 2005-06-23 1 1 100,1663 100,1663 100,1663 100,1663 855973 Cicero Fonder AB Cicero World Wide SEK 2005-06-27 1 1 99,862 99,862 99,862 99,862 855973 Cicero Fonder AB Cicero World Wide SEK 2005-06-28 1 1 100,4517 100,4517 100,4517 100,4517 855973 Cicero Fonder AB Cicero World Wide SEK 2005-06-29 1 1 100,7836 100,7836 100,7836 100,7836 855973 Cicero Fonder AB Cicero World Wide SEK 2005-06-30 1 1 100,795 100,795 100,795 100,795 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-01 1 1 101,292 101,292 101,292 101,292 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-04 1 1 101,6845 101,6845 101,6845 101,6845 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-05 1 1 101,0597 101,0597 101,0597 101,0597 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-06 1 1 101,5122 101,5122 101,5122 101,5122 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-07 1 1 101,3018 101,3018 101,3018 101,3018 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-08 1 1 102,0223 102,0223 102,0223 102,0223 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-11 1 1 101,7829 101,7829 101,7829 101,7829 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-12 1 1 101,4787 101,4787 101,4787 101,4787 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-13 1 1 101,8223 101,8223 101,8223 101,8223 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-14 1 1 102,1372 102,1372 102,1372 102,1372 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-15 1 1 101,9596 101,9596 101,9596 101,9596 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-18 1 1 102,0822 102,0822 102,0822 102,0822 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-19 1 1 102,3131 102,3131 102,3131 102,3131 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-20 1 1 102,4634 102,4634 102,4634 102,4634 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-21 1 1 102,2312 102,2312 102,2312 102,2312 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-22 1 1 102,7788 102,7788 102,7788 102,7788 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-25 1 1 103,2058 103,2058 103,2058 103,2058 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-26 1 1 103,3186 103,3186 103,3186 103,3186 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-27 1 1 103,5642 103,5642 103,5642 103,5642 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-28 1 1 103,7415 103,7415 103,7415 103,7415 855973 Cicero Fonder AB Cicero World Wide SEK 2005-07-29 1 1 103,2611 103,2611 103,2611 103,2611 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-01 1 1 103,4779 103,4779 103,4779 103,4779 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-02 1 1 104,1065 104,1065 104,1065 104,1065 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-03 1 1 103,5507 103,5507 103,5507 103,5507 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-04 1 1 103,3342 103,3342 103,3342 103,3342 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-05 1 1 103,4523 103,4523 103,4523 103,4523 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-08 1 1 103,4235 103,4235 103,4235 103,4235 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-09 1 1 103,7407 103,7407 103,7407 103,7407 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-10 1 1 103,6865 103,6865 103,6865 103,6865 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-11 1 1 102,9836 102,9836 102,9836 102,9836 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-12 1 1 102,8483 102,8483 102,8483 102,8483 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-15 1 1 103,0769 103,0769 103,0769 103,0769 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-16 1 1 104,0384 104,0384 104,0384 104,0384 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-17 1 1 104,0277 104,0277 104,0277 104,0277 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-18 1 1 104,1806 104,1806 104,1806 104,1806 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-19 1 1 104,5607 104,5607 104,5607 104,5607 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-22 1 1 104,989 104,989 104,989 104,989 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-23 1 1 104,9048 104,9048 104,9048 104,9048 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-24 1 1 104,4527 104,4527 104,4527 104,4527 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-25 1 1 104,3984 104,3984 104,3984 104,3984 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-26 1 1 104,3216 104,3216 104,3216 104,3216 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-29 1 1 104,3199 104,3199 104,3199 104,3199 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-30 1 1 104,9244 104,9244 104,9244 104,9244 855973 Cicero Fonder AB Cicero World Wide SEK 2005-08-31 1 1 104,8222 104,8222 104,8222 104,8222 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-01 1 1 104,7865 104,7865 104,7865 104,7865 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-02 1 1 104,9088 104,9088 104,9088 104,9088 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-05 1 1 105,2429 105,2429 105,2429 105,2429 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-06 1 1 104,9141 104,9141 104,9141 104,9141 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-07 1 1 104,9716 104,9716 104,9716 104,9716 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-08 1 1 105,2026 105,2026 105,2026 105,2026 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-09 1 1 106,0253 106,0253 106,0253 106,0253 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-12 1 1 106,5545 106,5545 106,5545 106,5545 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-13 1 1 106,6688 106,6688 106,6688 106,6688 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-14 1 1 106,7506 106,7506 106,7506 106,7506 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-15 1 1 107,4065 107,4065 107,4065 107,4065 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-16 1 1 108,032 108,032 108,032 108,032 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-19 1 1 108,4749 108,4749 108,4749 108,4749 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-20 1 1 108,6983 108,6983 108,6983 108,6983 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-21 1 1 108,9444 108,9444 108,9444 108,9444 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-22 1 1 109,6669 109,6669 109,6669 109,6669 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-23 1 1 110,0113 110,0113 110,0113 110,0113 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-26 1 1 110,585 110,585 110,585 110,585 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-27 1 1 111,3173 111,3173 111,3173 111,3173 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-28 1 1 111,4589 111,4589 111,4589 111,4589 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-29 1 1 111,7534 111,7534 111,7534 111,7534 855973 Cicero Fonder AB Cicero World Wide SEK 2005-09-30 1 1 111,9002 111,9002 111,9002 111,9002 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-03 1 1 112,9031 112,9031 112,9031 112,9031 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-04 1 1 113,4166 113,4166 113,4166 113,4166 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-05 1 1 111,7778 111,7778 111,7778 111,7778 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-06 1 1 108,8361 108,8361 108,8361 108,8361 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-07 1 1 108,5873 108,5873 108,5873 108,5873 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-10 1 1 108,8449 108,8449 108,8449 108,8449 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-11 1 1 109,1505 109,1505 109,1505 109,1505 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-12 1 1 109,0821 109,0821 109,0821 109,0821 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-13 1 1 108,8242 108,8242 108,8242 108,8242 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-14 1 1 108,6351 108,6351 108,6351 108,6351 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-17 1 1 108,6487 108,6487 108,6487 108,6487 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-18 1 1 108,9841 108,9841 108,9841 108,9841 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-19 1 1 108,3459 108,3459 108,3459 108,3459 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-20 1 1 108,1288 108,1288 108,1288 108,1288 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-21 1 1 108,4783 108,4783 108,4783 108,4783 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-24 1 1 109,1801 109,1801 109,1801 109,1801 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-25 1 1 108,4736 108,4736 108,4736 108,4736 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-26 1 1 108,5198 108,5198 108,5198 108,5198 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-27 1 1 108,0262 108,0262 108,0262 108,0262 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-28 1 1 108,4964 108,4964 108,4964 108,4964 855973 Cicero Fonder AB Cicero World Wide SEK 2005-10-31 1 1 109,6652 109,6652 109,6652 109,6652 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-01 1 1 110,1966 110,1966 110,1966 110,1966 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-02 1 1 111,1579 111,1579 111,1579 111,1579 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-03 1 1 111,8611 111,8611 111,8611 111,8611 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-04 1 1 112,7036 112,7036 112,7036 112,7036 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-07 1 1 113,3823 113,3823 113,3823 113,3823 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-08 1 1 113,505 113,505 113,505 113,505 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-09 1 1 114,1914 114,1914 114,1914 114,1914 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-10 1 1 114,6081 114,6081 114,6081 114,6081 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-11 1 1 114,0557 114,0557 114,0557 114,0557 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-14 1 1 114,3804 114,3804 114,3804 114,3804 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-15 1 1 114,1729 114,1729 114,1729 114,1729 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-16 1 1 114,2515 114,2515 114,2515 114,2515 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-17 1 1 114,7771 114,7771 114,7771 114,7771 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-18 1 1 114,7456 114,7456 114,7456 114,7456 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-21 1 1 114,5902 114,5902 114,5902 114,5902 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-22 1 1 114,3432 114,3432 114,3432 114,3432 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-23 1 1 114,2966 114,2966 114,2966 114,2966 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-24 1 1 114,5895 114,5895 114,5895 114,5895 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-25 1 1 115,0121 115,0121 115,0121 115,0121 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-28 1 1 115,0754 115,0754 115,0754 115,0754 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-29 1 1 115,4396 115,4396 115,4396 115,4396 855973 Cicero Fonder AB Cicero World Wide SEK 2005-11-30 1 1 115,5474 115,5474 115,5474 115,5474 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-01 1 1 116,2953 116,2953 116,2953 116,2953 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-02 1 1 116,7253 116,7253 116,7253 116,7253 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-05 1 1 116,8914 116,8914 116,8914 116,8914 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-06 1 1 116,663 116,663 116,663 116,663 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-07 1 1 116,9467 116,9467 116,9467 116,9467 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-08 1 1 116,7742 116,7742 116,7742 116,7742 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-12 1 1 116,585 116,585 116,585 116,585 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-13 1 1 116,7209 116,7209 116,7209 116,7209 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-14 1 1 116,5159 116,5159 116,5159 116,5159 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-15 1 1 116,7385 116,7385 116,7385 116,7385 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-16 1 1 116,5745 116,5745 116,5745 116,5745 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-19 1 1 116,4626 116,4626 116,4626 116,4626 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-20 1 1 116,9986 116,9986 116,9986 116,9986 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-21 1 1 117,7803 117,7803 117,7803 117,7803 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-22 1 1 118,326 118,326 118,326 118,326 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-23 1 1 118,7606 118,7606 118,7606 118,7606 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-27 1 1 118,8655 118,8655 118,8655 118,8655 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-28 1 1 118,3164 118,3164 118,3164 118,3164 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-29 1 1 119,0313 119,0313 119,0313 119,0313 855973 Cicero Fonder AB Cicero World Wide SEK 2005-12-30 1 1 119,0333 119,0333 119,0333 119,0333 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-03 9,0065 9,0015 104,04 104,04 937,03626 936,51606 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-04 9,0345 9,0295 104,14 104,14 940,85283 940,33213 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-05 9,0615 9,0565 104,2 104,2 944,2083 943,6873 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-07 9,0615 9,0565 104,28 104,28 944,93322 944,41182 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-10 9,08619 9,08119 104,33 104,33 947,9622027 947,4405527 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-11 9,08619 9,08119 104,36 104,36 948,2347884 947,7129884 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-12 9,0455 9,0405 104,3 104,3 943,44565 942,92415 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-13 9,0505 9,0455 104,21 104,21 943,152605 942,631555 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-14 9,0455 9,0405 104,41 104,41 944,440655 943,918605 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-17 9,0685 9,0635 104,45 104,45 947,204825 946,682575 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-18 9,0585 9,0535 104,5 104,5 946,61325 946,09075 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-19 9,0225 9,0175 104,48 104,48 942,6708 942,1484 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-20 9,0315 9,0265 104,52 104,52 943,97238 943,44978 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-21 9,0505 9,0455 104,3 104,3 943,96715 943,44565 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-24 9,0655 9,0605 104,39 104,39 946,347545 945,825595 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-25 9,0715 9,0665 104,5 104,5 947,97175 947,44925 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-26 9,0885 9,0835 104,47 104,47 949,475595 948,953245 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-27 9,0675 9,0625 104,4 104,4 946,647 946,125 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-28 9,0955 9,0905 104,32 104,32 948,84256 948,32096 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-01-31 9,1075 9,1025 104,45 104,45 951,278375 950,756125 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-01 9,1035 9,0985 104,45 104,45 950,860575 950,338325 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-02 9,0905 9,0855 104,41 104,41 949,139105 948,617055 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-03 9,0695 9,0645 104,37 104,37 946,583715 946,061865 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-04 9,0895 9,0845 104,36 104,36 948,58022 948,05842 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-07 9,0755 9,0705 104,52 104,52 948,57126 948,04866 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-08 9,0895 9,0845 104,61 104,61 950,852595 950,329545 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-09 9,0695 9,0645 104,61 104,61 948,760395 948,237345 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-10 9,0805 9,0755 104,65 104,65 950,274325 949,751075 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-11 9,0935 9,0885 104,63 104,63 951,452905 950,929755 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-14 9,1105 9,1055 104,64 104,64 953,32272 952,79952 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-15 9,0765 9,0715 104,63 104,63 949,674195 949,151045 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-16 9,0705 9,0655 104,59 104,59 948,683595 948,160645 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-17 9,0925 9,0875 104,46 104,46 949,80255 949,28025 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-18 9,0945 9,0895 104,32 104,32 948,73824 948,21664 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-21 9,1185 9,1135 104,06 104,06 948,87111 948,35081 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-22 9,0975 9,0925 103,93 103,93 945,503175 944,983525 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-23 9,1045 9,0995 103,89 103,89 945,866505 945,347055 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-24 9,0715 9,0665 103,87 103,87 942,256705 941,737355 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-25 9,0845 9,0795 103,75 103,75 942,516875 941,998125 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-02-28 9,0505 9,0455 103,73 103,73 938,808365 938,289715 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-01 9,0565 9,0515 103,61 103,61 938,343965 937,825915 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-02 9,0645 9,0595 103,62 103,62 939,26349 938,74539 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-03 9,0675 9,0625 103,62 103,62 939,57435 939,05625 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-04 9,0415 9,0365 103,58 103,58 936,51857 936,00067 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-07 9,0425 9,0375 103,78 103,78 938,43065 937,91175 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-08 9,0345 9,0295 103,95 103,95 939,136275 938,616525 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-09 9,0365 9,0315 103,95 103,95 939,344175 938,824425 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-10 9,0655 9,0605 103,88 103,88 941,72414 941,20474 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-11 9,0795 9,0745 103,8 103,8 942,4521 941,9331 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-14 9,0695 9,0645 103,78 103,78 941,23271 940,71381 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-15 9,1035 9,0985 103,68 103,68 943,85088 943,33248 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-16 9,0975 9,0925 103,93 103,93 945,503175 944,983525 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-17 9,1045 9,0995 103,97 103,97 946,594865 946,075015 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-18 9,1035 9,0985 104 104 946,764 946,244 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-21 9,1265 9,1215 103,96 103,96 948,79094 948,27114 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-22 9,1265 9,1215 103,81 103,81 947,421965 946,902915 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-23 9,1165 9,1115 103,98 103,98 947,93367 947,41377 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-24 9,1135 9,1085 103,92 103,92 947,07492 946,55532 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-29 9,1315 9,1265 103,95 103,95 949,219425 948,699675 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-30 9,1425 9,1375 103,89 103,89 949,814325 949,294875 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-03-31 9,1405 9,1355 103,74 103,74 948,23547 947,71677 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-01 9,1645 9,1595 104,04 104,04 953,47458 952,95438 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-04 9,1695 9,1645 104,18 104,18 955,27851 954,75761 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-05 9,1745 9,1695 104,45 104,45 958,276525 957,754275 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-06 9,1705 9,1655 104,38 104,38 957,21679 956,69489 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-07 9,1505 9,1455 104,44 104,44 955,67822 955,15602 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-08 9,1625 9,1575 104,48 104,48 957,298 956,7756 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-11 9,1705 9,1655 104,37 104,37 957,125085 956,603235 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-12 9,1525 9,1475 104,42 104,42 955,70405 955,18195 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-13 9,1495 9,1445 104,51 104,51 956,214245 955,691695 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-14 9,1685 9,1635 104,58 104,58 958,84173 958,31883 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-15 9,1925 9,1875 104,53 104,53 960,892025 960,369375 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-18 9,1805 9,1755 104,52 104,52 959,54586 959,02326 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-19 9,2035 9,1985 104,77 104,77 964,250695 963,726845 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-20 9,1915 9,1865 104,89 104,89 964,096435 963,571985 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-21 9,1855 9,1805 104,84 104,84 963,00782 962,48362 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-22 9,1625 9,1575 104,85 104,85 960,688125 960,163875 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-25 9,1685 9,1635 104,87 104,87 961,500595 960,976245 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-26 9,1375 9,1325 104,94 104,94 958,88925 958,36455 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-27 9,1465 9,1415 104,86 104,86 959,10199 958,57769 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-28 9,1505 9,1455 104,96 104,96 960,43648 959,91168 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-04-29 9,1705 9,1655 104,99 104,99 962,810795 962,285845 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-02 9,1935 9,1885 105,02 105,02 965,50137 964,97627 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-03 9,2245 9,2195 104,98 104,98 968,38801 967,86311 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-04 9,1915 9,1865 105,03 105,03 965,383245 964,858095 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-06 9,1715 9,1665 104,95 104,95 962,548925 962,024175 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-09 9,1815 9,1765 104,89 104,89 963,047535 962,523085 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-10 9,1985 9,1935 105 105 965,8425 965,3175 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-11 9,2105 9,2055 105,2 105,2 968,9446 968,4186 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-12 9,2315 9,2265 105,23 105,23 971,430745 970,904595 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-13 9,2045 9,1995 105,21 105,21 968,405445 967,879395 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-17 9,2325 9,2275 105,26 105,26 971,81295 971,28665 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-18 9,2095 9,2045 105,3 105,3 969,76035 969,23385 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-19 9,1905 9,1855 105,35 105,35 968,219175 967,692425 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-20 9,1955 9,1905 105,22 105,22 967,55051 967,02441 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-23 9,1805 9,1755 105,11 105,11 964,962355 964,436805 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-24 9,1815 9,1765 105,35 105,35 967,271025 966,744275 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-25 9,1785 9,1735 105,43 105,43 967,689255 967,162105 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-26 9,1945 9,1895 105,55 105,55 970,479475 969,951725 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-27 9,1955 9,1905 105,45 105,45 969,665475 969,138225 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-30 9,1905 9,1855 105,38 105,38 968,49489 967,96799 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-05-31 9,1665 9,1615 105,35 105,35 965,690775 965,164025 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-01 9,1455 9,1405 105,59 105,59 965,673345 965,145395 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-02 9,1565 9,1515 105,53 105,53 966,285445 965,757795 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-03 9,1315 9,1265 105,59 105,59 964,195085 963,667135 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-07 9,1455 9,1405 105,74 105,74 967,04517 966,51647 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-08 9,1455 9,1405 105,94 105,94 968,87427 968,34457 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-09 9,1965 9,1915 106,11 106,11 975,840615 975,310065 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-10 9,1975 9,1925 106,02 106,02 975,11895 974,58885 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-13 9,2365 9,2315 106,01 106,01 979,161365 978,631315 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-14 9,2985 9,2935 105,92 105,92 984,89712 984,36752 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-15 9,2695 9,2645 105,78 105,78 980,52771 979,99881 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-16 9,2695 9,2645 105,52 105,52 978,11764 977,59004 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-17 9,2695 9,2645 105,45 105,45 977,468775 976,941525 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-20 9,2255 9,2205 105,48 105,48 973,10574 972,57834 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-21 9,2725 9,2675 105,54 105,54 978,61965 978,09195 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-22 9,2615 9,2565 105,86 105,86 980,42239 979,89309 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-27 9,3855 9,3805 106,13 106,13 996,083115 995,552465 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-28 9,3995 9,3945 106,23 106,23 998,508885 997,977735 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-29 9,4215 9,4165 106,19 106,19 1000,469085 999,938135 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-06-30 9,4415 9,4365 106,13 106,13 1002,026395 1001,495745 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-01 9,4595 9,4545 106,23 106,23 1004,882685 1004,351535 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-04 9,4795 9,4745 106,1 106,1 1005,77495 1005,24445 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-05 9,4575 9,4525 106 106 1002,495 1001,965 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-06 9,4195 9,4145 105,9 105,9 997,52505 996,99555 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-07 9,3965 9,3915 105,92 105,92 995,27728 994,74768 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-08 9,4175 9,4125 105,97 105,97 997,972475 997,442625 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-11 9,4665 9,4615 106,01 106,01 1003,543665 1003,013615 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-12 9,4645 9,4595 105,89 105,89 1002,195905 1001,666455 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-13 9,3915 9,3865 105,93 105,93 994,841595 994,311945 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-14 9,3675 9,3625 105,86 105,86 991,64355 991,11425 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-15 9,4055 9,4005 105,81 105,81 995,195955 994,666905 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-18 9,3895 9,3845 105,78 105,78 993,22131 992,69241 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-19 9,4425 9,4375 105,88 105,88 999,7719 999,2425 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-20 9,4265 9,4215 105,85 105,85 997,795025 997,265775 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-21 9,4625 9,4575 105,82 105,82 1001,32175 1000,79265 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-22 9,4495 9,4445 105,81 105,81 999,851595 999,322545 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-25 9,4275 9,4225 105,99 105,99 999,220725 998,690775 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-26 9,4155 9,4105 106,11 106,11 999,078705 998,548155 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-27 9,4725 9,4675 106,07 106,07 1004,748075 1004,217725 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-28 9,4515 9,4465 106,09 106,09 1002,709635 1002,179185 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-07-29 9,3885 9,3835 106,08 106,08 995,93208 995,40168 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-01 9,3985 9,3935 106,14 106,14 997,55679 997,02609 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-02 9,3995 9,3945 106,03 106,03 996,628985 996,098835 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-03 9,3755 9,3705 105,95 105,95 993,334225 992,804475 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-04 9,3735 9,3685 105,96 105,96 993,21606 992,68626 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-05 9,3355 9,3305 105,92 105,92 988,81616 988,28656 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-08 9,3335 9,3285 105,91 105,91 988,510985 987,981435 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-09 9,3455 9,3405 105,86 105,86 989,31463 988,78533 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-10 9,3535 9,3485 105,84 105,84 989,97444 989,44524 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-11 9,3365 9,3315 105,91 105,91 988,828715 988,299165 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-12 9,3025 9,2975 105,96 105,96 985,6929 985,1631 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-16 9,2995 9,2945 106,05 106,05 986,211975 985,681725 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-17 9,3405 9,3355 106,17 106,17 991,680885 991,150035 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-18 9,3365 9,3315 106,22 106,22 991,72303 991,19193 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-19 9,3395 9,3345 106,34 106,34 993,16243 992,63073 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-22 9,3655 9,3605 106,37 106,37 996,208235 995,676385 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-23 9,3715 9,3665 106,45 106,45 997,596175 997,063925 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-24 9,3365 9,3315 106,52 106,52 994,52398 993,99138 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-25 9,3335 9,3285 106,53 106,53 994,297755 993,765105 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-26 9,3415 9,3365 106,57 106,57 995,523655 994,990805 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-29 9,3295 9,3245 106,56 106,56 994,15152 993,61872 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-30 9,3285 9,3235 106,57 106,57 994,138245 993,605395 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-08-31 9,3585 9,3535 106,55 106,55 997,148175 996,615425 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-01 9,3365 9,3315 106,74 106,74 996,57801 996,04431 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-02 9,3025 9,2975 106,89 106,89 994,344225 993,809775 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-05 9,2845 9,2795 106,98 106,98 993,25581 992,72091 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-06 9,3225 9,3175 107,07 107,07 998,160075 997,624725 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-07 9,3075 9,3025 107,02 107,02 996,08865 995,55355 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-08 9,3255 9,3205 107 107 997,8285 997,2935 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-09 9,3445 9,3395 107,02 107,02 1000,04839 999,51329 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-12 9,3015 9,2965 107,05 107,05 995,725575 995,190325 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-13 9,3015 9,2965 106,84 106,84 993,77226 993,23806 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-14 9,3365 9,3315 107 107 999,0055 998,4705 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-15 9,3425 9,3375 106,87 106,87 998,432975 997,898625 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-16 9,3465 9,3415 106,83 106,83 998,486595 997,952445 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-19 9,3355 9,3305 106,79 106,79 996,938045 996,404095 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-20 9,3395 9,3345 106,85 106,85 997,925575 997,391325 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-21 9,3405 9,3355 106,94 106,94 998,87307 998,33837 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-22 9,3405 9,3355 107,17 107,17 1001,021385 1000,485535 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-23 9,3695 9,3645 107,18 107,18 1004,22301 1003,68711 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-26 9,3815 9,3765 107,1 107,1 1004,75865 1004,22315 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-27 9,3885 9,3835 106,88 106,88 1003,44288 1002,90848 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-28 9,3935 9,3885 106,9 106,9 1004,16515 1003,63065 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-29 9,3845 9,3795 106,9 106,9 1003,20305 1002,66855 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-09-30 9,3435 9,3385 106,86 106,86 998,44641 997,91211 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-03 9,3025 9,2975 106,89 106,89 994,344225 993,809775 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-04 9,3185 9,3135 106,75 106,75 994,749875 994,216125 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-05 9,3105 9,3055 106,79 106,79 994,268295 993,734345 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-06 9,3015 9,2965 106,76 106,76 993,02814 992,49434 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-07 9,3385 9,3335 106,66 106,66 996,04441 995,51111 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-10 9,3465 9,3415 106,68 106,68 997,08462 996,55122 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-11 9,3395 9,3345 106,79 106,79 997,365205 996,831255 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-12 9,3375 9,3325 106,7 106,7 996,31125 995,77775 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-13 9,3815 9,3765 106,6 106,6 1000,0679 999,5349 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-14 9,4135 9,4085 106,45 106,45 1002,067075 1001,534825 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-17 9,4575 9,4525 106,48 106,48 1007,0346 1006,5022 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-18 9,4625 9,4575 106,44 106,44 1007,1885 1006,6563 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-19 9,4605 9,4555 106,46 106,46 1007,16483 1006,63253 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-20 9,4935 9,4885 106,52 106,52 1011,24762 1010,71502 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-21 9,4915 9,4865 106,36 106,36 1009,51594 1008,98414 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-24 9,5455 9,5405 106,46 106,46 1016,21393 1015,68163 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-25 9,5465 9,5415 106,47 106,47 1016,415855 1015,883505 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-26 9,4975 9,4925 106,3 106,3 1009,58425 1009,05275 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-27 9,5355 9,5305 106,1 106,1 1011,71655 1011,18605 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-28 9,5135 9,5085 105,97 105,97 1008,145595 1007,615745 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-10-31 9,5495 9,5445 105,98 105,98 1012,05601 1011,52611 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-02 9,5855 9,5805 105,98 105,98 1015,87129 1015,34139 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-03 9,6515 9,6465 105,88 105,88 1021,90082 1021,37142 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-04 9,5875 9,5825 105,89 105,89 1015,220375 1014,690925 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-07 9,6075 9,6025 105,8 105,8 1016,4735 1015,9445 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-08 9,5685 9,5635 105,77 105,77 1012,060245 1011,531395 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-09 9,5575 9,5525 105,84 105,84 1011,5658 1011,0366 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-10 9,6105 9,6055 105,62 105,62 1015,06101 1014,53291 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-11 9,6365 9,6315 105,55 105,55 1017,132575 1016,604825 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-14 9,5505 9,5455 105,59 105,59 1008,437295 1007,909345 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-15 9,5805 9,5755 105,6 105,6 1011,7008 1011,1728 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-16 9,6235 9,6185 105,59 105,59 1016,145365 1015,617415 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-17 9,6355 9,6305 105,78 105,78 1019,24319 1018,71429 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-18 9,6085 9,6035 105,77 105,77 1016,291045 1015,762195 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-21 9,5915 9,5865 105,37 105,37 1010,656355 1010,129505 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-22 9,5585 9,5535 105,49 105,49 1008,326165 1007,798715 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-23 9,5155 9,5105 105,52 105,52 1004,07556 1003,54796 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-24 9,5125 9,5075 105,58 105,58 1004,32975 1003,80185 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-25 9,4965 9,4915 105,82 105,82 1004,91963 1004,39053 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-28 9,4835 9,4785 105,83 105,83 1003,638805 1003,109655 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-29 9,4785 9,4735 105,87 105,87 1003,488795 1002,959445 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-11-30 9,5295 9,5245 105,77 105,77 1007,935215 1007,406365 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-01 9,5165 9,5115 105,8 105,8 1006,8457 1006,3167 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-02 9,4905 9,4855 105,96 105,96 1005,61338 1005,08358 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-05 9,4065 9,4015 106,08 106,08 997,84152 997,31112 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-06 9,4185 9,4135 106,04 106,04 998,73774 998,20754 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-07 9,4255 9,4205 106,18 106,18 1000,79959 1000,26869 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-08 9,3965 9,3915 106,1 106,1 996,96865 996,43815 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-12 9,4315 9,4265 105,91 105,91 998,890165 998,360615 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-13 9,4295 9,4245 105,99 105,99 999,432705 998,902755 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-14 9,4365 9,4315 106,02 106,02 1000,45773 999,92763 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-15 9,4345 9,4295 106,09 106,09 1000,906105 1000,375655 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-16 9,4765 9,4715 106,04 106,04 1004,88806 1004,35786 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-19 9,4535 9,4485 106,09 106,09 1002,921815 1002,391365 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-20 9,4015 9,3965 106,14 106,14 997,87521 997,34451 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-21 9,4485 9,4435 106,1 106,1 1002,48585 1001,95535 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-22 9,4365 9,4315 105,91 105,91 999,419715 998,890165 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-23 9,4425 9,4375 105,98 105,98 1000,71615 1000,18625 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-27 9,4915 9,4865 106,02 106,02 1006,28883 1005,75873 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-28 9,4345 9,4295 106,07 106,07 1000,717415 1000,187065 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-29 9,4115 9,4065 106,22 106,22 999,68953 999,15843 808634 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Inflation Linked (Euro) EUR 2005-12-30 9,4325 9,4275 106,24 106,24 1002,1088 1001,5776 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-03 9,0065 9,0015 105,63 105,63 951,356595 950,828445 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-04 9,0345 9,0295 105,63 105,63 954,314235 953,786085 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-05 9,0615 9,0565 105,72 105,72 957,98178 957,45318 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-07 9,0615 9,0565 105,65 105,65 957,347475 956,819225 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-10 9,08619 9,08119 105,68 105,68 960,2285592 959,7001592 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-11 9,08619 9,08119 105,7 105,7 960,410283 959,881783 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-12 9,0455 9,0405 105,68 105,68 955,92844 955,40004 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-13 9,0505 9,0455 105,7 105,7 956,63785 956,10935 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-14 9,0455 9,0405 105,71 105,71 956,199805 955,671255 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-17 9,0685 9,0635 105,74 105,74 958,90319 958,37449 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-18 9,0585 9,0535 105,76 105,76 958,02696 957,49816 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-19 9,0225 9,0175 105,75 105,75 954,129375 953,600625 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-20 9,0315 9,0265 105,78 105,78 955,35207 954,82317 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-21 9,0505 9,0455 105,74 105,74 956,99987 956,47117 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-24 9,0655 9,0605 105,74 105,74 958,58597 958,05727 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-25 9,0715 9,0665 105,78 105,78 959,58327 959,05437 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-26 9,0885 9,0835 105,86 105,86 962,10861 961,57931 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-27 9,0675 9,0625 105,87 105,87 959,976225 959,446875 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-28 9,0955 9,0905 105,87 105,87 962,940585 962,411235 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-01-31 9,1075 9,1025 105,88 105,88 964,3021 963,7727 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-01 9,1035 9,0985 105,94 105,94 964,42479 963,89509 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-02 9,0905 9,0855 105,97 105,97 963,320285 962,790435 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-03 9,0695 9,0645 106,01 106,01 961,457695 960,927645 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-04 9,0895 9,0845 106,03 106,03 963,759685 963,229535 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-07 9,0755 9,0705 106,09 106,09 962,819795 962,289345 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-08 9,0895 9,0845 106,18 106,18 965,12311 964,59221 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-09 9,0695 9,0645 106,23 106,23 963,452985 962,921835 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-10 9,0805 9,0755 106,25 106,25 964,803125 964,271875 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-11 9,0935 9,0885 106,25 106,25 966,184375 965,653125 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-14 9,1105 9,1055 106,29 106,29 968,355045 967,823595 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-15 9,0765 9,0715 106,27 106,27 964,559655 964,028305 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-16 9,0705 9,0655 106,32 106,32 964,37556 963,84396 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-17 9,0925 9,0875 106,32 106,32 966,7146 966,183 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-18 9,0945 9,0895 106,31 106,31 966,836295 966,304745 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-21 9,1185 9,1135 106,32 106,32 969,47892 968,94732 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-22 9,0975 9,0925 106,28 106,28 966,8823 966,3509 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-23 9,1045 9,0995 106,23 106,23 967,171035 966,639885 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-24 9,0715 9,0665 106,24 106,24 963,75616 963,22496 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-25 9,0845 9,0795 106,27 106,27 965,409815 964,878465 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-02-28 9,0505 9,0455 106,31 106,31 962,158655 961,627105 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-01 9,0565 9,0515 106,38 106,38 963,43047 962,89857 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-02 9,0645 9,0595 106,33 106,33 963,828285 963,296635 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-03 9,0675 9,0625 106,34 106,34 964,23795 963,70625 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-04 9,0415 9,0365 106,36 106,36 961,65394 961,12214 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-07 9,0425 9,0375 106,4 106,4 962,122 961,59 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-08 9,0345 9,0295 106,49 106,49 962,083905 961,551455 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-09 9,0365 9,0315 106,51 106,51 962,477615 961,945065 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-10 9,0655 9,0605 106,48 106,48 965,29444 964,76204 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-11 9,0795 9,0745 106,36 106,36 965,69562 965,16382 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-14 9,0695 9,0645 106,42 106,42 965,17619 964,64409 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-15 9,1035 9,0985 106,33 106,33 967,975155 967,443505 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-16 9,0975 9,0925 106,31 106,31 967,155225 966,623675 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-17 9,1045 9,0995 106,17 106,17 966,624765 966,093915 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-18 9,1035 9,0985 106,15 106,15 966,336525 965,805775 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-21 9,1265 9,1215 106,17 106,17 968,960505 968,429655 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-22 9,1265 9,1215 106,07 106,07 968,047855 967,517505 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-23 9,1165 9,1115 106,04 106,04 966,71366 966,18346 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-24 9,1135 9,1085 105,92 105,92 965,30192 964,77232 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-29 9,1315 9,1265 106 106 967,939 967,409 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-30 9,1425 9,1375 105,94 105,94 968,55645 968,02675 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-03-31 9,1405 9,1355 105,92 105,92 968,16176 967,63216 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-01 9,1645 9,1595 105,91 105,91 970,612195 970,082645 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-04 9,1695 9,1645 105,95 105,95 971,508525 970,978775 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-05 9,1745 9,1695 105,9 105,9 971,57955 971,05005 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-06 9,1705 9,1655 105,92 105,92 971,33936 970,80976 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-07 9,1505 9,1455 105,97 105,97 969,678485 969,148635 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-08 9,1625 9,1575 106,03 106,03 971,499875 970,969725 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-11 9,1705 9,1655 106,05 106,05 972,531525 972,001275 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-12 9,1525 9,1475 106,05 106,05 970,622625 970,092375 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-13 9,1495 9,1445 106,02 106,02 970,02999 969,49989 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-14 9,1685 9,1635 106,04 106,04 972,22774 971,69754 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-15 9,1925 9,1875 105,98 105,98 974,22115 973,69125 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-18 9,1805 9,1755 105,87 105,87 971,939535 971,410185 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-19 9,2035 9,1985 105,81 105,81 973,822335 973,293285 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-20 9,1915 9,1865 105,8 105,8 972,4607 971,9317 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-21 9,1855 9,1805 105,86 105,86 972,37703 971,84773 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-22 9,1625 9,1575 105,95 105,95 970,766875 970,237125 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-25 9,1685 9,1635 105,96 105,96 971,49426 970,96446 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-26 9,1375 9,1325 105,98 105,98 968,39225 967,86235 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-27 9,1465 9,1415 105,98 105,98 969,34607 968,81617 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-28 9,1505 9,1455 105,95 105,95 969,495475 968,965725 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-04-29 9,1705 9,1655 105,92 105,92 971,33936 970,80976 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-03 9,2245 9,2195 105,98 105,98 977,61251 977,08261 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-04 9,1915 9,1865 106 106 974,299 973,769 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-06 9,1715 9,1665 106 106 972,179 971,649 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-09 9,1815 9,1765 106,11 106,11 974,248965 973,718415 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-10 9,1985 9,1935 106,07 106,07 975,684895 975,154545 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-11 9,2105 9,2055 106,06 106,06 976,86563 976,33533 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-12 9,2315 9,2265 106,01 106,01 978,631315 978,101265 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-13 9,2045 9,1995 106,01 106,01 975,769045 975,238995 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-17 9,2325 9,2275 105,96 105,96 978,2757 977,7459 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-18 9,2095 9,2045 105,88 105,88 975,10186 974,57246 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-19 9,1905 9,1855 105,89 105,89 973,182045 972,652595 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-20 9,1955 9,1905 105,99 105,99 974,631045 974,101095 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-23 9,1805 9,1755 105,98 105,98 972,94939 972,41949 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-24 9,1815 9,1765 106,01 106,01 973,330815 972,800765 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-25 9,1785 9,1735 106,05 106,05 973,379925 972,849675 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-26 9,1945 9,1895 106,12 106,12 975,72034 975,18974 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-27 9,1955 9,1905 106,15 106,15 976,102325 975,571575 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-30 9,1905 9,1855 106,16 106,16 975,66348 975,13268 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-05-31 9,1665 9,1615 106,16 106,16 973,11564 972,58484 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-01 9,1455 9,1405 106,14 106,14 970,70337 970,17267 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-02 9,1565 9,1515 106,18 106,18 972,23717 971,70627 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-03 9,1315 9,1265 106,27 106,27 970,404505 969,873155 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-07 9,1455 9,1405 106,34 106,34 972,53247 972,00077 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-08 9,1455 9,1405 106,36 106,36 972,71538 972,18358 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-09 9,1965 9,1915 106,43 106,43 978,783495 978,251345 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-10 9,1975 9,1925 106,48 106,48 979,3498 978,8174 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-13 9,2365 9,2315 106,48 106,48 983,50252 982,97012 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-14 9,2985 9,2935 106,48 106,48 990,10428 989,57188 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-15 9,2695 9,2645 106,52 106,52 987,38714 986,85454 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-16 9,2695 9,2645 106,56 106,56 987,75792 987,22512 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-17 9,2695 9,2645 106,47 106,47 986,923665 986,391315 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-20 9,2255 9,2205 106,6 106,6 983,4383 982,9053 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-21 9,2725 9,2675 106,63 106,63 988,726675 988,193525 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-22 9,2615 9,2565 106,64 106,64 987,64636 987,11316 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-27 9,3855 9,3805 106,66 106,66 1001,05743 1000,52413 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-28 9,3995 9,3945 106,65 106,65 1002,456675 1001,923425 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-29 9,4215 9,4165 106,72 106,72 1005,46248 1004,92888 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-06-30 9,4415 9,4365 106,76 106,76 1007,97454 1007,44074 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-01 9,4595 9,4545 106,75 106,75 1009,801625 1009,267875 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-04 9,4795 9,4745 106,88 106,88 1013,16896 1012,63456 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-05 9,4575 9,4525 106,87 106,87 1010,723025 1010,188675 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-06 9,4195 9,4145 106,9 106,9 1006,94455 1006,41005 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-07 9,3965 9,3915 106,91 106,91 1004,579815 1004,045265 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-08 9,4175 9,4125 106,8 106,8 1005,789 1005,255 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-11 9,4665 9,4615 106,97 106,97 1012,631505 1012,096655 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-12 9,4645 9,4595 107,03 107,03 1012,985435 1012,450285 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-13 9,3915 9,3865 107,07 107,07 1005,547905 1005,012555 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-14 9,3675 9,3625 107,08 107,08 1003,0719 1002,5365 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-15 9,4055 9,4005 107,13 107,13 1007,611215 1007,075565 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-18 9,3895 9,3845 107,13 107,13 1005,897135 1005,361485 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-19 9,4425 9,4375 107,21 107,21 1012,330425 1011,794375 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-20 9,4265 9,4215 107,15 107,15 1010,049475 1009,513725 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-21 9,4625 9,4575 107,16 107,16 1014,0015 1013,4657 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-22 9,4495 9,4445 107,23 107,23 1013,269885 1012,733735 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-25 9,4275 9,4225 107,22 107,22 1010,81655 1010,28045 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-26 9,4155 9,4105 107,25 107,25 1009,812375 1009,276125 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-27 9,4725 9,4675 107,22 107,22 1015,64145 1015,10535 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-28 9,4515 9,4465 107,27 107,27 1013,862405 1013,326055 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-07-29 9,3885 9,3835 107,26 107,26 1007,01051 1006,47421 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-01 9,3985 9,3935 107,37 107,37 1009,116945 1008,580095 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-02 9,3995 9,3945 107,36 107,36 1009,13032 1008,59352 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-03 9,3755 9,3705 107,4 107,4 1006,9287 1006,3917 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-04 9,3735 9,3685 107,39 107,39 1006,620165 1006,083215 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-05 9,3355 9,3305 107,45 107,45 1003,099475 1002,562225 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-08 9,3335 9,3285 107,51 107,51 1003,444585 1002,907035 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-09 9,3455 9,3405 107,51 107,51 1004,734705 1004,197155 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-10 9,3535 9,3485 107,53 107,53 1005,781855 1005,244205 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-11 9,3365 9,3315 107,59 107,59 1004,514035 1003,976085 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-12 9,3025 9,2975 107,48 107,48 999,8327 999,2953 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-16 9,2995 9,2945 107,52 107,52 999,88224 999,34464 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-17 9,3405 9,3355 107,48 107,48 1003,91694 1003,37954 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-18 9,3365 9,3315 107,52 107,52 1003,86048 1003,32288 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-19 9,3395 9,3345 107,46 107,46 1003,62267 1003,08537 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-22 9,3655 9,3605 107,51 107,51 1006,884905 1006,347355 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-23 9,3715 9,3665 107,49 107,49 1007,342535 1006,805085 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-24 9,3365 9,3315 107,55 107,55 1004,140575 1003,602825 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-25 9,3335 9,3285 107,56 107,56 1003,91126 1003,37346 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-26 9,3415 9,3365 107,52 107,52 1004,39808 1003,86048 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-29 9,3295 9,3245 107,6 107,6 1003,8542 1003,3162 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-30 9,3285 9,3235 107,57 107,57 1003,466745 1002,928895 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-08-31 9,3585 9,3535 107,48 107,48 1005,85158 1005,31418 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-01 9,3365 9,3315 107,49 107,49 1003,580385 1003,042935 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-02 9,3025 9,2975 107,51 107,51 1000,111775 999,574225 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-05 9,2845 9,2795 107,56 107,56 998,64082 998,10302 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-06 9,3225 9,3175 107,6 107,6 1003,101 1002,563 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-07 9,3075 9,3025 107,67 107,67 1002,138525 1001,600175 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-08 9,3255 9,3205 107,72 107,72 1004,54286 1004,00426 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-09 9,3445 9,3395 107,7 107,7 1006,40265 1005,86415 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-12 9,3015 9,2965 107,77 107,77 1002,422655 1001,883805 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-13 9,3015 9,2965 107,81 107,81 1002,794715 1002,255665 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-14 9,3365 9,3315 107,73 107,73 1005,821145 1005,282495 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-15 9,3425 9,3375 107,8 107,8 1007,1215 1006,5825 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-16 9,3465 9,3415 107,85 107,85 1008,020025 1007,480775 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-19 9,3355 9,3305 107,9 107,9 1007,30045 1006,76095 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-20 9,3395 9,3345 107,84 107,84 1007,17168 1006,63248 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-21 9,3405 9,3355 107,9 107,9 1007,83995 1007,30045 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-22 9,3405 9,3355 107,86 107,86 1007,46633 1006,92703 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-23 9,3695 9,3645 107,85 107,85 1010,500575 1009,961325 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-26 9,3815 9,3765 107,94 107,94 1012,63911 1012,09941 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-27 9,3885 9,3835 107,98 107,98 1013,77023 1013,23033 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-28 9,3935 9,3885 108 108 1014,498 1013,958 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-29 9,3845 9,3795 107,98 107,98 1013,33831 1012,79841 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-09-30 9,3435 9,3385 108,05 108,05 1009,565175 1009,024925 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-03 9,3025 9,2975 108,12 108,12 1005,7863 1005,2457 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-04 9,3185 9,3135 108,16 108,16 1007,88896 1007,34816 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-05 9,3105 9,3055 108,17 108,17 1007,116785 1006,575935 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-06 9,3015 9,2965 108,16 108,16 1006,05024 1005,50944 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-07 9,3385 9,3335 108,09 108,09 1009,398465 1008,858015 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-10 9,3465 9,3415 108,03 108,03 1009,702395 1009,162245 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-11 9,3395 9,3345 108,07 108,07 1009,319765 1008,779415 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-12 9,3375 9,3325 108,07 108,07 1009,103625 1008,563275 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-13 9,3815 9,3765 108 108 1013,202 1012,662 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-14 9,4135 9,4085 107,89 107,89 1015,622515 1015,083065 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-17 9,4575 9,4525 107,88 107,88 1020,2751 1019,7357 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-18 9,4625 9,4575 107,9 107,9 1021,00375 1020,46425 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-19 9,4605 9,4555 107,89 107,89 1020,693345 1020,153895 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-20 9,4935 9,4885 107,83 107,83 1023,684105 1023,144955 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-21 9,4915 9,4865 107,84 107,84 1023,56336 1023,02416 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-24 9,5455 9,5405 107,79 107,79 1028,909445 1028,370495 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-25 9,5465 9,5415 107,91 107,91 1030,162815 1029,623265 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-26 9,4975 9,4925 107,98 107,98 1025,54005 1025,00015 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-27 9,5355 9,5305 107,9 107,9 1028,88045 1028,34095 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-28 9,5135 9,5085 107,84 107,84 1025,93584 1025,39664 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-10-31 9,5495 9,5445 107,86 107,86 1030,00907 1029,46977 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-02 9,5855 9,5805 107,97 107,97 1034,946435 1034,406585 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-03 9,6515 9,6465 107,99 107,99 1042,265485 1041,725535 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-04 9,5875 9,5825 108,03 108,03 1035,737625 1035,197475 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-07 9,6075 9,6025 108,05 108,05 1038,090375 1037,550125 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-08 9,5685 9,5635 108,05 108,05 1033,876425 1033,336175 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-09 9,5575 9,5525 108,03 108,03 1032,496725 1031,956575 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-10 9,6105 9,6055 108,13 108,13 1039,183365 1038,642715 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-11 9,6365 9,6315 108,03 108,03 1041,031095 1040,490945 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-14 9,5505 9,5455 108,09 108,09 1032,313545 1031,773095 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-15 9,5805 9,5755 108,16 108,16 1036,22688 1035,68608 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-16 9,6235 9,6185 108,07 108,07 1040,011645 1039,471295 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-17 9,6355 9,6305 108,02 108,02 1040,82671 1040,28661 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-18 9,6085 9,6035 108,03 108,03 1038,006255 1037,466105 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-21 9,5915 9,5865 108,17 108,17 1037,512555 1036,971705 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-22 9,5585 9,5535 108,12 108,12 1033,46502 1032,92442 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-23 9,5155 9,5105 108,09 108,09 1028,530395 1027,989945 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-24 9,5125 9,5075 108,14 108,14 1028,68175 1028,14105 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-25 9,4965 9,4915 108,06 108,06 1026,19179 1025,65149 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-28 9,4835 9,4785 108,1 108,1 1025,16635 1024,62585 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-29 9,4785 9,4735 108,08 108,08 1024,43628 1023,89588 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-11-30 9,5295 9,5245 108,15 108,15 1030,615425 1030,074675 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-01 9,5165 9,5115 108,12 108,12 1028,92398 1028,38338 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-02 9,4905 9,4855 108,16 108,16 1026,49248 1025,95168 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-05 9,4065 9,4015 108,21 108,21 1017,877365 1017,336315 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-06 9,4185 9,4135 108,26 108,26 1019,64681 1019,10551 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-07 9,4255 9,4205 108,21 108,21 1019,933355 1019,392305 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-08 9,3965 9,3915 108,28 108,28 1017,45302 1016,91162 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-12 9,4315 9,4265 108,34 108,34 1021,80871 1021,26701 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-13 9,4295 9,4245 108,33 108,33 1021,497735 1020,956085 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-14 9,4365 9,4315 108,33 108,33 1022,256045 1021,714395 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-15 9,4345 9,4295 108,32 108,32 1021,94504 1021,40344 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-16 9,4765 9,4715 108,27 108,27 1026,020655 1025,479305 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-19 9,4535 9,4485 108,29 108,29 1023,719515 1023,178065 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-20 9,4015 9,3965 108,29 108,29 1018,088435 1017,546985 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-21 9,4485 9,4435 108,35 108,35 1023,744975 1023,203225 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-22 9,4365 9,4315 108,43 108,43 1023,199695 1022,657545 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-23 9,4425 9,4375 108,41 108,41 1023,661425 1023,119375 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-27 9,4915 9,4865 108,37 108,37 1028,593855 1028,052005 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-28 9,4345 9,4295 108,39 108,39 1022,605455 1022,063505 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-29 9,4115 9,4065 108,42 108,42 1020,39483 1019,85273 772806 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Bond Fund (Lux) Target Return (Euro) EUR 2005-12-30 9,4325 9,4275 108,46 108,46 1023,04895 1022,50665 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-03 6,668 6,658 12,09 12,09 80,61612 80,49522 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-04 6,728 6,718 12,01 12,01 80,80328 80,68318 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-05 6,828 6,818 11,82 11,82 80,70696 80,58876 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-07 6,87 6,86 11,7 11,7 80,379 80,262 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-10 6,96091 6,95091 11,64 11,64 81,0249924 80,9085924 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-11 6,96091 6,95091 11,72 11,72 81,5818652 81,4646652 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-12 6,913 6,903 11,73 11,73 81,08949 80,97219 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-13 6,843 6,833 11,8 11,8 80,7474 80,6294 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-14 6,915 6,905 11,86 11,86 82,0119 81,8933 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-17 6,915 6,905 12,05 12,05 83,32575 83,20525 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-18 6,968 6,958 12,02 12,02 83,75536 83,63516 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-19 6,91 6,9 11,96 11,96 82,6436 82,524 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-20 6,96 6,95 11,86 11,86 82,5456 82,427 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-21 6,978 6,968 11,8 11,8 82,3404 82,2224 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-24 6,933 6,923 11,73 11,73 81,32409 81,20679 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-25 6,95 6,94 11,77 11,77 81,8015 81,6838 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-26 6,995 6,985 11,83 11,83 82,75085 82,63255 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-27 6,93 6,92 11,85 11,85 82,1205 82,002 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-28 6,985 6,975 11,87 11,87 82,91195 82,79325 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-01-31 6,998 6,988 11,95 11,95 83,6261 83,5066 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-01 6,993 6,983 11,87 11,87 83,00691 82,88821 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-02 6,953 6,943 11,91 11,91 82,81023 82,69113 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-03 6,968 6,958 11,95 11,95 83,2676 83,1481 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-04 7,01 7 11,97 11,97 83,9097 83,79 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-07 7,065 7,055 12,08 12,08 85,3452 85,2244 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-08 7,123 7,113 12,13 12,13 86,40199 86,28069 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-09 7,1 7,09 12,17 12,17 86,407 86,2853 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-10 7,088 7,078 12,12 12,12 85,90656 85,78536 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-11 7,068 7,058 12,11 12,11 85,59348 85,47238 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-14 7,03 7,02 12,25 12,25 86,1175 85,995 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-15 7,005 6,995 12,31 12,31 86,23155 86,10845 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-16 6,973 6,963 12,28 12,28 85,62844 85,50564 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-17 6,97 6,96 12,22 12,22 85,1734 85,0512 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-18 6,965 6,955 12,32 12,32 85,8088 85,6856 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-21 6,978 6,968 12,35 12,35 86,1783 86,0548 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-22 6,905 6,895 12,35 12,35 85,27675 85,15325 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-23 6,895 6,885 12,26 12,26 84,5327 84,4101 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-24 6,858 6,848 12,37 12,37 84,83346 84,70976 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-25 6,885 6,875 12,47 12,47 85,85595 85,73125 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-02-28 6,828 6,818 12,56 12,56 85,75968 85,63408 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-01 6,87 6,86 12,56 12,56 86,2872 86,1616 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-02 6,888 6,878 12,4 12,4 85,4112 85,2872 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-03 6,903 6,893 12,39 12,39 85,52817 85,40427 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-04 6,9 6,89 12,32 12,32 85,008 84,8848 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-07 6,84 6,83 12,39 12,39 84,7476 84,6237 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-08 6,825 6,815 12,34 12,34 84,2205 84,0971 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-09 6,76 6,75 12,41 12,41 83,8916 83,7675 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-10 6,745 6,735 12,33 12,33 83,16585 83,04255 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-11 6,765 6,755 12,4 12,4 83,886 83,762 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-14 6,76 6,75 12,33 12,33 83,3508 83,2275 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-15 6,815 6,805 12,1 12,1 82,4615 82,3405 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-16 6,81 6,8 12,18 12,18 82,9458 82,824 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-17 6,795 6,785 12,13 12,13 82,42335 82,30205 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-18 6,828 6,818 12,14 12,14 82,89192 82,77052 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-21 6,908 6,898 12,11 12,11 83,65588 83,53478 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-22 6,928 6,918 12 12 83,136 83,016 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-23 6,973 6,963 11,9 11,9 82,9787 82,8597 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-24 7,008 6,998 11,82 11,82 82,83456 82,71636 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-29 7,055 7,045 11,7 11,7 82,5435 82,4265 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-30 7,053 7,043 11,63 11,63 82,02639 81,91009 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-03-31 7,065 7,055 11,79 11,79 83,29635 83,17845 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-01 7,07 7,06 11,93 11,93 84,3451 84,2258 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-04 7,113 7,103 11,89 11,89 84,57357 84,45467 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-05 7,163 7,153 11,87 11,87 85,02481 84,90611 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-06 7,125 7,115 11,91 11,91 84,85875 84,73965 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-07 7,083 7,073 11,94 11,94 84,57102 84,45162 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-08 7,153 7,143 11,99 11,99 85,76447 85,64457 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-11 7,098 7,088 11,97 11,97 84,96306 84,84336 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-12 7,048 7,038 11,95 11,95 84,2236 84,1041 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-13 7,075 7,065 11,99 11,99 84,82925 84,70935 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-14 7,12 7,11 11,84 11,84 84,3008 84,1824 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-15 7,17 7,16 11,69 11,69 83,8173 83,7004 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-18 7,08 7,07 11,43 11,43 80,9244 80,8101 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-19 7,068 7,058 11,52 11,52 81,42336 81,30816 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-20 7,043 7,033 11,57 11,57 81,48751 81,37181 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-21 7,025 7,015 11,57 11,57 81,27925 81,16355 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-22 7,023 7,013 11,63 11,63 81,67749 81,56119 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-25 7,04 7,03 11,65 11,65 82,016 81,8995 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-26 7,035 7,025 11,71 11,71 82,37985 82,26275 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-27 7,085 7,075 11,63 11,63 82,39855 82,28225 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-28 7,085 7,075 11,62 11,62 82,3277 82,2115 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-04-29 7,08 7,07 11,59 11,59 82,0572 81,9413 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-03 7,178 7,168 11,64 11,64 83,55192 83,43552 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-04 7,11 7,1 11,72 11,72 83,3292 83,212 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-06 7,085 7,075 11,9 11,9 84,3115 84,1925 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-09 7,168 7,158 11,9 11,9 85,2992 85,1802 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-10 7,178 7,168 11,87 11,87 85,20286 85,08416 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-11 7,15 7,14 11,76 11,76 84,084 83,9664 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-12 7,243 7,233 11,77 11,77 85,25011 85,13241 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-13 7,265 7,255 11,75 11,75 85,36375 85,24625 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-17 7,313 7,303 11,63 11,63 85,05019 84,93389 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-18 7,3 7,29 11,66 11,66 85,118 85,0014 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-19 7,26 7,25 11,8 11,8 85,668 85,55 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-20 7,28 7,27 11,8 11,8 85,904 85,786 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-23 7,32 7,31 11,73 11,73 85,8636 85,7463 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-24 7,295 7,285 11,76 11,76 85,7892 85,6716 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-25 7,298 7,288 11,64 11,64 84,94872 84,83232 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-26 7,33 7,32 11,62 11,62 85,1746 85,0584 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-27 7,338 7,328 11,75 11,75 86,2215 86,104 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-30 7,338 7,328 11,82 11,82 86,73516 86,61696 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-05-31 7,403 7,393 11,78 11,78 87,20734 87,08954 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-01 7,428 7,418 11,72 11,72 87,05616 86,93896 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-02 7,473 7,463 11,76 11,76 87,88248 87,76488 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-03 7,438 7,428 11,84 11,84 88,06592 87,94752 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-07 7,448 7,438 11,86 11,86 88,33328 88,21468 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-08 7,435 7,425 11,92 11,92 88,6252 88,506 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-09 7,523 7,513 11,94 11,94 89,82462 89,70522 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-10 7,525 7,515 12,01 12,01 90,37525 90,25515 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-13 7,643 7,633 12,01 12,01 91,79243 91,67233 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-14 7,663 7,653 11,97 11,97 91,72611 91,60641 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-15 7,693 7,683 12,06 12,06 92,77758 92,65698 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-16 7,678 7,668 12,06 12,06 92,59668 92,47608 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-17 7,643 7,633 12,12 12,12 92,63316 92,51196 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-20 7,543 7,533 12,08 12,08 91,11944 90,99864 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-21 7,648 7,638 12,03 12,03 92,00544 91,88514 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-22 7,608 7,598 12,19 12,19 92,74152 92,61962 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-27 7,73 7,72 12,15 12,15 93,9195 93,798 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-28 7,76 7,75 12,14 12,14 94,2064 94,085 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-29 7,833 7,823 12,06 12,06 94,46598 94,34538 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-06-30 7,823 7,813 12,03 12,03 94,11069 93,99039 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-01 7,858 7,848 12,07 12,07 94,84606 94,72536 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-04 7,945 7,935 12,02 12,02 95,4989 95,3787 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-05 7,963 7,953 11,93 11,93 94,99859 94,87929 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-06 7,895 7,885 11,97 11,97 94,50315 94,38345 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-07 7,878 7,868 11,91 11,91 93,82698 93,70788 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-08 7,913 7,903 11,84 11,84 93,68992 93,57152 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-11 7,89 7,88 12,07 12,07 95,2323 95,1116 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-12 7,77 7,76 12,19 12,19 94,7163 94,5944 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-13 7,703 7,693 12,25 12,25 94,36175 94,23925 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-14 7,76 7,75 12,43 12,43 96,4568 96,3325 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-15 7,76 7,75 12,36 12,36 95,9136 95,79 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-18 7,78 7,77 12,4 12,4 96,472 96,348 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-19 7,878 7,868 12,45 12,45 98,0811 97,9566 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-20 7,818 7,808 12,51 12,51 97,80318 97,67808 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-21 7,775 7,765 12,51 12,51 97,26525 97,14015 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-22 7,758 7,748 12,68 12,68 98,37144 98,24464 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-25 7,838 7,828 12,7 12,7 99,5426 99,4156 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-26 7,818 7,808 12,65 12,65 98,8977 98,7712 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-27 7,905 7,895 12,61 12,61 99,68205 99,55595 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-28 7,848 7,838 12,66 12,66 99,35568 99,22908 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-07-29 7,748 7,738 12,69 12,69 98,32212 98,19522 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-01 7,72 7,71 12,75 12,75 98,43 98,3025 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-02 7,7 7,69 12,9 12,9 99,33 99,201 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-03 7,685 7,675 12,98 12,98 99,7513 99,6215 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-04 7,618 7,608 12,96 12,96 98,72928 98,59968 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-05 7,548 7,538 12,84 12,84 96,91632 96,78792 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-08 7,558 7,548 12,81 12,81 96,81798 96,68988 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-09 7,548 7,538 12,82 12,82 96,76536 96,63716 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-10 7,558 7,548 12,94 12,94 97,80052 97,67112 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-11 7,523 7,513 13,01 13,01 97,87423 97,74413 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-12 7,46 7,45 13,05 13,05 97,353 97,2225 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-16 7,523 7,513 12,88 12,88 96,89624 96,76744 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-17 7,605 7,595 12,88 12,88 97,9524 97,8236 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-18 7,61 7,6 12,69 12,69 96,5709 96,444 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-19 7,698 7,688 12,57 12,57 96,76386 96,63816 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-22 7,69 7,68 12,73 12,73 97,8937 97,7664 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-23 7,663 7,653 12,62 12,62 96,70706 96,58086 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-24 7,673 7,663 12,45 12,45 95,52885 95,40435 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-25 7,588 7,578 12,45 12,45 94,4706 94,3461 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-26 7,578 7,568 12,5 12,5 94,725 94,6 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-29 7,573 7,563 12,29 12,29 93,07217 92,94927 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-30 7,633 7,623 12,28 12,28 93,73324 93,61044 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-08-31 7,668 7,658 12,32 12,32 94,46976 94,34656 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-01 7,568 7,558 12,49 12,49 94,52432 94,39942 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-02 7,435 7,425 12,6 12,6 93,681 93,555 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-05 7,41 7,4 12,61 12,61 93,4401 93,314 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-06 7,485 7,475 12,63 12,63 94,53555 94,40925 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-07 7,43 7,42 12,72 12,72 94,5096 94,3824 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-08 7,498 7,488 12,69 12,69 95,14962 95,02272 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-09 7,523 7,513 12,7 12,7 95,5421 95,4151 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-12 7,555 7,545 12,78 12,78 96,5529 96,4251 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-13 7,57 7,56 12,77 12,77 96,6689 96,5412 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-14 7,61 7,6 12,79 12,79 97,3319 97,204 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-15 7,658 7,648 12,73 12,73 97,48634 97,35904 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-16 7,613 7,603 12,61 12,61 95,99993 95,87383 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-20 7,688 7,678 12,76 12,76 98,09888 97,97128 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-21 7,663 7,653 12,78 12,78 97,93314 97,80534 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-22 7,648 7,638 12,68 12,68 96,97664 96,84984 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-23 7,733 7,723 12,54 12,54 96,97182 96,84642 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-26 7,798 7,788 12,64 12,64 98,56672 98,44032 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-27 7,825 7,815 12,62 12,62 98,7515 98,6253 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-28 7,81 7,8 12,68 12,68 99,0308 98,904 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-29 7,785 7,775 12,8 12,8 99,648 99,52 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-09-30 7,785 7,775 12,85 12,85 100,03725 99,90875 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-03 7,783 7,773 12,84 12,84 99,93372 99,80532 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-04 7,82 7,81 12,92 12,92 101,0344 100,9052 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-05 7,795 7,785 12,82 12,82 99,9319 99,8037 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-06 7,713 7,703 12,58 12,58 97,02954 96,90374 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-07 7,683 7,673 12,58 12,58 96,65214 96,52634 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-10 7,698 7,688 12,67 12,67 97,53366 97,40696 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-11 7,77 7,76 12,7 12,7 98,679 98,552 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-12 7,805 7,795 12,43 12,43 97,01615 96,89185 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-13 7,83 7,82 12,28 12,28 96,1524 96,0296 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-14 7,833 7,823 12,23 12,23 95,79759 95,67529 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-17 7,835 7,825 12,18 12,18 95,4303 95,3085 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-18 7,893 7,883 12,19 12,19 96,21567 96,09377 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-19 7,96 7,95 11,89 11,89 94,6444 94,5255 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-20 7,93 7,92 11,93 11,93 94,6049 94,4856 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-21 7,883 7,873 11,97 11,97 94,35951 94,23981 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-24 7,995 7,985 11,89 11,89 95,06055 94,94165 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-25 7,99 7,98 11,89 11,89 95,0011 94,8822 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-26 7,868 7,858 11,91 11,91 93,70788 93,58878 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-27 7,868 7,858 11,8 11,8 92,8424 92,7244 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-28 7,825 7,815 11,66 11,66 91,2395 91,1229 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-10-31 7,905 7,895 11,85 11,85 93,67425 93,55575 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-02 7,98 7,97 12,22 12,22 97,5156 97,3934 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-03 8,01 8 12,27 12,27 98,2827 98,16 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-04 8,028 8,018 12,29 12,29 98,66412 98,54122 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-07 8,135 8,125 12,15 12,15 98,84025 98,71875 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-08 8,17 8,16 12,15 12,15 99,2655 99,144 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-09 8,12 8,11 12,27 12,27 99,6324 99,5097 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-10 8,173 8,163 12,32 12,32 100,69136 100,56816 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-11 8,235 8,225 12,49 12,49 102,85515 102,73025 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-14 8,133 8,123 12,46 12,46 101,33718 101,21258 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-15 8,185 8,175 12,41 12,41 101,57585 101,45175 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-16 8,21 8,2 12,41 12,41 101,8861 101,762 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-17 8,258 8,248 12,42 12,42 102,56436 102,44016 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-18 8,223 8,213 12,55 12,55 103,19865 103,07315 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-21 8,123 8,113 12,54 12,54 101,86242 101,73702 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-22 8,15 8,14 12,42 12,42 101,223 101,0988 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-23 8,048 8,038 12,68 12,68 102,04864 101,92184 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-24 8,053 8,043 12,78 12,78 102,91734 102,78954 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-25 8,078 8,068 12,7 12,7 102,5906 102,4636 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-28 8,118 8,108 12,72 12,72 103,26096 103,13376 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-29 8,015 8,005 12,61 12,61 101,06915 100,94305 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-11-30 8,088 8,078 12,67 12,67 102,47496 102,34826 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-01 8,083 8,073 12,69 12,69 102,57327 102,44637 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-02 8,103 8,093 12,78 12,78 103,55634 103,42854 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-05 8,045 8,035 12,84 12,84 103,2978 103,1694 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-06 7,993 7,983 12,91 12,91 103,18963 103,06053 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-07 8,015 8,005 13,04 13,04 104,5156 104,3852 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-08 7,988 7,978 12,92 12,92 103,20496 103,07576 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-12 7,953 7,943 13,04 13,04 103,70712 103,57672 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-13 7,905 7,895 13,06 13,06 103,2393 103,1087 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-14 7,848 7,838 13,02 13,02 102,18096 102,05076 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-15 7,858 7,848 13,04 13,04 102,46832 102,33792 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-16 7,903 7,893 13 13 102,739 102,609 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-19 7,865 7,855 13,14 13,14 103,3461 103,2147 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-20 7,848 7,838 13,11 13,11 102,88728 102,75618 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-21 7,948 7,938 13,21 13,21 104,99308 104,86098 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-22 7,98 7,97 13,21 13,21 105,4158 105,2837 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-23 7,955 7,945 13,3 13,3 105,8015 105,6685 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-27 8,01 8 13,4 13,4 107,334 107,2 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-28 7,915 7,905 13,36 13,36 105,7444 105,6108 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-29 7,938 7,928 13,43 13,43 106,60734 106,47304 322180 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Asian Tigers USD 2005-12-30 7,958 7,948 13,44 13,44 106,95552 106,82112 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-03 9,0065 9,0015 123,75 123,75 1114,554375 1113,935625 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-04 9,0345 9,0295 124,48 124,48 1124,61456 1123,99216 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-05 9,0615 9,0565 124,98 124,98 1132,50627 1131,88137 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-07 9,0615 9,0565 125,07 125,07 1133,321805 1132,696455 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-10 9,08619 9,08119 125,85 125,85 1143,4970115 1142,8677615 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-11 9,08619 9,08119 125,93 125,93 1144,2239067 1143,5942567 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-12 9,0455 9,0405 125,01 125,01 1130,777955 1130,152905 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-13 9,0505 9,0455 124,27 124,27 1124,705635 1124,084285 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-14 9,0455 9,0405 124,78 124,78 1128,69749 1128,07359 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-17 9,0685 9,0635 125,38 125,38 1137,00853 1136,38163 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-18 9,0585 9,0535 125,84 125,84 1139,92164 1139,29244 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-19 9,0225 9,0175 126,11 126,11 1137,827475 1137,196925 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-20 9,0315 9,0265 126,5 126,5 1142,48475 1141,85225 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-21 9,0505 9,0455 126,09 126,09 1141,177545 1140,547095 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-24 9,0655 9,0605 126,07 126,07 1142,887585 1142,257235 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-25 9,0715 9,0665 126,11 126,11 1144,006865 1143,376315 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-26 9,0885 9,0835 127,06 127,06 1154,78481 1154,14951 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-27 9,0675 9,0625 126,85 126,85 1150,212375 1149,578125 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-28 9,0955 9,0905 127,16 127,16 1156,58378 1155,94798 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-01-31 9,1075 9,1025 126,65 126,65 1153,464875 1152,831625 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-01 9,1035 9,0985 127,52 127,52 1160,87832 1160,24072 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-02 9,0905 9,0855 128,47 128,47 1167,856535 1167,214185 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-03 9,0695 9,0645 128,81 128,81 1168,242295 1167,598245 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-04 9,0895 9,0845 128,62 128,62 1169,09149 1168,44839 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-07 9,0755 9,0705 129,83 129,83 1178,272165 1177,623015 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-08 9,0895 9,0845 130,4 130,4 1185,2708 1184,6188 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-09 9,0695 9,0645 130,68 130,68 1185,20226 1184,54886 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-10 9,0805 9,0755 130,3 130,3 1183,18915 1182,53765 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-11 9,0935 9,0885 130,59 130,59 1187,520165 1186,867215 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-14 9,1105 9,1055 132,08 132,08 1203,31484 1202,65444 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-15 9,0765 9,0715 132,13 132,13 1199,277945 1198,617295 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-16 9,0705 9,0655 132,61 132,61 1202,839005 1202,175955 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-17 9,0925 9,0875 131,81 131,81 1198,482425 1197,823375 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-18 9,0945 9,0895 132,18 132,18 1202,11101 1201,45011 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-21 9,1185 9,1135 132,42 132,42 1207,47177 1206,80967 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-22 9,0975 9,0925 131,74 131,74 1198,50465 1197,84595 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-23 9,1045 9,0995 130,74 130,74 1190,32233 1189,66863 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-24 9,0715 9,0665 130,21 130,21 1181,200015 1180,548965 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-25 9,0845 9,0795 130,04 130,04 1181,34838 1180,69818 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-02-28 9,0505 9,0455 131,3 131,3 1188,33065 1187,67415 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-01 9,0565 9,0515 131,03 131,03 1186,673195 1186,018045 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-02 9,0645 9,0595 131,53 131,53 1192,253685 1191,596035 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-03 9,0675 9,0625 131,45 131,45 1191,922875 1191,265625 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-04 9,0415 9,0365 131,13 131,13 1185,611895 1184,956245 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-07 9,0425 9,0375 132,14 132,14 1194,87595 1194,21525 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-08 9,0345 9,0295 132,09 132,09 1193,367105 1192,706655 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-09 9,0365 9,0315 131,49 131,49 1188,209385 1187,551935 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-10 9,0655 9,0605 130,63 130,63 1184,226265 1183,573115 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-11 9,0795 9,0745 129,38 129,38 1174,70571 1174,05881 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-14 9,0695 9,0645 129,39 129,39 1173,502605 1172,855655 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-15 9,1035 9,0985 129,47 129,47 1178,630145 1177,982795 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-16 9,0975 9,0925 130,49 130,49 1187,132775 1186,480325 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-17 9,1045 9,0995 128,85 128,85 1173,114825 1172,470575 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-18 9,1035 9,0985 128,84 128,84 1172,89494 1172,25074 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-21 9,1265 9,1215 129,22 129,22 1179,32633 1178,68023 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-22 9,1265 9,1215 128,91 128,91 1176,497115 1175,852565 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-23 9,1165 9,1115 129,15 129,15 1177,395975 1176,750225 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-24 9,1135 9,1085 128,7 128,7 1172,90745 1172,26395 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-29 9,1315 9,1265 129,48 129,48 1182,34662 1181,69922 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-30 9,1425 9,1375 129,71 129,71 1185,873675 1185,225125 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-03-31 9,1405 9,1355 129,19 129,19 1180,861195 1180,215245 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-01 9,1645 9,1595 129,37 129,37 1185,611365 1184,964515 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-04 9,1695 9,1645 130,06 130,06 1192,58517 1191,93487 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-05 9,1745 9,1695 129,49 129,49 1188,006005 1187,358555 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-06 9,1705 9,1655 130,42 130,42 1196,01661 1195,36451 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-07 9,1505 9,1455 130,98 130,98 1198,53249 1197,87759 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-08 9,1625 9,1575 131,5 131,5 1204,86875 1204,21125 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-11 9,1705 9,1655 131,65 131,65 1207,296325 1206,638075 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-12 9,1525 9,1475 131,32 131,32 1201,9063 1201,2497 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-13 9,1495 9,1445 131,01 131,01 1198,675995 1198,020945 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-14 9,1685 9,1635 131,58 131,58 1206,39123 1205,73333 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-15 9,1925 9,1875 131,1 131,1 1205,13675 1204,48125 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-18 9,1805 9,1755 128,95 128,95 1183,825475 1183,180725 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-19 9,2035 9,1985 126,82 126,82 1167,18787 1166,55377 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-20 9,1915 9,1865 127,61 127,61 1172,927315 1172,289265 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-21 9,1855 9,1805 126,67 126,67 1163,527285 1162,893935 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-22 9,1625 9,1575 126,27 126,27 1156,948875 1156,317525 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-25 9,1685 9,1635 127,32 127,32 1167,33342 1166,69682 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-26 9,1375 9,1325 128,08 128,08 1170,331 1169,6906 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-27 9,1465 9,1415 127,85 127,85 1169,380025 1168,740775 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-28 9,1505 9,1455 126,11 126,11 1153,969555 1153,339005 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-04-29 9,1705 9,1655 125,86 125,86 1154,19913 1153,56983 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-03 9,2245 9,2195 126,64 126,64 1168,19068 1167,55748 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-04 9,1915 9,1865 127,18 127,18 1168,97497 1168,33907 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-06 9,1715 9,1665 128,64 128,64 1179,82176 1179,17856 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-09 9,1815 9,1765 129,07 129,07 1185,056205 1184,410855 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-10 9,1985 9,1935 128,59 128,59 1182,835115 1182,192165 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-11 9,2105 9,2055 127,52 127,52 1174,52296 1173,88536 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-12 9,2315 9,2265 127,25 127,25 1174,708375 1174,072125 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-13 9,2045 9,1995 128,21 128,21 1180,108945 1179,467895 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-17 9,2325 9,2275 127,38 127,38 1176,03585 1175,39895 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-18 9,2095 9,2045 127,5 127,5 1174,21125 1173,57375 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-19 9,1905 9,1855 129,26 129,26 1187,96403 1187,31773 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-20 9,1955 9,1905 129,9 129,9 1194,49545 1193,84595 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-23 9,1805 9,1755 129,84 129,84 1191,99612 1191,34692 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-24 9,1815 9,1765 130,59 130,59 1199,012085 1198,359135 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-25 9,1785 9,1735 130,61 130,61 1198,803885 1198,150835 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-26 9,1945 9,1895 130,73 130,73 1201,996985 1201,343335 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-27 9,1955 9,1905 131,24 131,24 1206,81742 1206,16122 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-30 9,1905 9,1855 131,23 131,23 1206,069315 1205,413165 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-05-31 9,1665 9,1615 131,77 131,77 1207,869705 1207,210855 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-01 9,1455 9,1405 131,6 131,6 1203,5478 1202,8898 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-02 9,1565 9,1515 133,55 133,55 1222,850575 1222,182825 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-03 9,1315 9,1265 133,75 133,75 1221,338125 1220,669375 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-07 9,1455 9,1405 132,81 132,81 1214,613855 1213,949805 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-08 9,1455 9,1405 134,45 134,45 1229,612475 1228,940225 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-09 9,1965 9,1915 134,26 134,26 1234,72209 1234,05079 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-10 9,1975 9,1925 134,47 134,47 1236,787825 1236,115475 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-13 9,2365 9,2315 135,38 135,38 1250,43737 1249,76047 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-14 9,2985 9,2935 135,96 135,96 1264,22406 1263,54426 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-15 9,2695 9,2645 136,23 136,23 1262,783985 1262,102835 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-16 9,2695 9,2645 135,76 135,76 1258,42732 1257,74852 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-17 9,2695 9,2645 136,34 136,34 1263,80363 1263,12193 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-20 9,2255 9,2205 136,56 136,56 1259,83428 1259,15148 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-21 9,2725 9,2675 136,54 136,54 1266,06715 1265,38445 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-22 9,2615 9,2565 137,07 137,07 1269,473805 1268,788455 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-27 9,3855 9,3805 137,25 137,25 1288,159875 1287,473625 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-28 9,3995 9,3945 136,03 136,03 1278,613985 1277,933835 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-29 9,4215 9,4165 137,48 137,48 1295,26782 1294,58042 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-06-30 9,4415 9,4365 137,53 137,53 1298,489495 1297,801845 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-01 9,4595 9,4545 137,27 137,27 1298,505565 1297,819215 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-04 9,4795 9,4745 138,55 138,55 1313,384725 1312,691975 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-05 9,4575 9,4525 139,05 139,05 1315,065375 1314,370125 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-06 9,4195 9,4145 138,61 138,61 1305,636895 1304,943845 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-07 9,3965 9,3915 139,39 139,39 1309,778135 1309,081185 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-08 9,4175 9,4125 136,83 136,83 1288,596525 1287,912375 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-11 9,4665 9,4615 138,72 138,72 1313,19288 1312,49928 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-12 9,4645 9,4595 139,42 139,42 1319,54059 1318,84349 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-13 9,3915 9,3865 138,85 138,85 1304,009775 1303,315525 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-14 9,3675 9,3625 139,64 139,64 1308,0777 1307,3795 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-15 9,4055 9,4005 140,32 140,32 1319,77976 1319,07816 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-18 9,3895 9,3845 139,92 139,92 1313,77884 1313,07924 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-19 9,4425 9,4375 139,7 139,7 1319,11725 1318,41875 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-20 9,4265 9,4215 139,87 139,87 1318,484555 1317,785205 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-21 9,4625 9,4575 139,45 139,45 1319,545625 1318,848375 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-22 9,4495 9,4445 140,55 140,55 1328,127225 1327,424475 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-25 9,4275 9,4225 140,8 140,8 1327,392 1326,688 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-26 9,4155 9,4105 141,52 141,52 1332,48156 1331,77396 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-27 9,4725 9,4675 141,63 141,63 1341,590175 1340,882025 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-28 9,4515 9,4465 141,96 141,96 1341,73494 1341,02514 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-07-29 9,3885 9,3835 142,36 142,36 1336,54686 1335,83506 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-01 9,3985 9,3935 142,42 142,42 1338,53437 1337,82227 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-02 9,3995 9,3945 142,57 142,57 1340,086715 1339,373865 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-03 9,3755 9,3705 143,58 143,58 1346,13429 1345,41639 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-04 9,3735 9,3685 143,8 143,8 1347,9093 1347,1903 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-05 9,3355 9,3305 142,4 142,4 1329,3752 1328,6632 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-08 9,3335 9,3285 141,68 141,68 1322,37028 1321,66188 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-09 9,3455 9,3405 142,42 142,42 1330,98611 1330,27401 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-10 9,3535 9,3485 143,14 143,14 1338,85999 1338,14429 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-11 9,3365 9,3315 144,52 144,52 1349,31098 1348,58838 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-12 9,3025 9,2975 144,19 144,19 1341,327475 1340,606525 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-16 9,2995 9,2945 143,76 143,76 1336,89612 1336,17732 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-17 9,3405 9,3355 143,25 143,25 1338,026625 1337,310375 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-18 9,3365 9,3315 142,94 142,94 1334,55931 1333,84461 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-19 9,3395 9,3345 142,32 142,32 1329,19764 1328,48604 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-22 9,3655 9,3605 143,63 143,63 1345,166765 1344,448615 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-23 9,3715 9,3665 143,84 143,84 1347,99656 1347,27736 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-24 9,3365 9,3315 143,01 143,01 1335,212865 1334,497815 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-25 9,3335 9,3285 142,56 142,56 1330,58376 1329,87096 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-26 9,3415 9,3365 141,56 141,56 1322,38274 1321,67494 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-29 9,3295 9,3245 140,69 140,69 1312,567355 1311,863905 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-30 9,3285 9,3235 141,06 141,06 1315,87821 1315,17291 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-08-31 9,3585 9,3535 141,01 141,01 1319,642085 1318,937035 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-01 9,3365 9,3315 142,23 142,23 1327,930395 1327,219245 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-02 9,3025 9,2975 143,11 143,11 1331,280775 1330,565225 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-05 9,2845 9,2795 143,06 143,06 1328,24057 1327,52527 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-06 9,3225 9,3175 143,99 143,99 1342,346775 1341,626825 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-07 9,3075 9,3025 145,14 145,14 1350,89055 1350,16485 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-08 9,3255 9,3205 145,72 145,72 1358,91186 1358,18326 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-09 9,3445 9,3395 145,27 145,27 1357,475515 1356,749165 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-12 9,3015 9,2965 145,5 145,5 1353,36825 1352,64075 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-13 9,3015 9,2965 145,61 145,61 1354,391415 1353,663365 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-14 9,3365 9,3315 144,56 144,56 1349,68444 1348,96164 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-15 9,3425 9,3375 144,89 144,89 1353,634825 1352,910375 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-16 9,3465 9,3415 144,98 144,98 1355,05557 1354,33067 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-19 9,3355 9,3305 146,16 146,16 1364,47668 1363,74588 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-20 9,3395 9,3345 146,75 146,75 1370,571625 1369,837875 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-21 9,3405 9,3355 146,99 146,99 1372,960095 1372,225145 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-22 9,3405 9,3355 145,62 145,62 1360,16361 1359,43551 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-23 9,3695 9,3645 145 145 1358,5775 1357,8525 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-26 9,3815 9,3765 145,5 145,5 1365,00825 1364,28075 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-27 9,3885 9,3835 147,38 147,38 1383,67713 1382,94023 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-28 9,3935 9,3885 146,99 146,99 1380,750565 1380,015615 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-29 9,3845 9,3795 148,19 148,19 1390,689055 1389,948105 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-09-30 9,3435 9,3385 147,65 147,65 1379,567775 1378,829525 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-03 9,3025 9,2975 147,75 147,75 1374,444375 1373,705625 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-04 9,3185 9,3135 148,94 148,94 1387,89739 1387,15269 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-05 9,3105 9,3055 148,91 148,91 1386,426555 1385,682005 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-06 9,3015 9,2965 146,9 146,9 1366,39035 1365,65585 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-07 9,3385 9,3335 144,79 144,79 1352,121415 1351,397465 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-10 9,3465 9,3415 144,13 144,13 1347,111045 1346,390395 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-11 9,3395 9,3345 144,58 144,58 1350,30491 1349,58201 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-12 9,3375 9,3325 145,01 145,01 1354,030875 1353,305825 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-13 9,3815 9,3765 143,73 143,73 1348,402995 1347,684345 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-14 9,4135 9,4085 142,51 142,51 1341,517885 1340,805335 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-17 9,4575 9,4525 142,65 142,65 1349,112375 1348,399125 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-18 9,4625 9,4575 142,72 142,72 1350,488 1349,7744 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-19 9,4605 9,4555 142,16 142,16 1344,90468 1344,19388 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-20 9,4935 9,4885 139,85 139,85 1327,665975 1326,966725 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-21 9,4915 9,4865 140,61 140,61 1334,599815 1333,896765 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-24 9,5455 9,5405 139,9 139,9 1335,41545 1334,71595 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-25 9,5465 9,5415 141,53 141,53 1351,116145 1350,408495 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-26 9,4975 9,4925 140,96 140,96 1338,7676 1338,0628 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-27 9,5355 9,5305 141,54 141,54 1349,65467 1348,94697 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-28 9,5135 9,5085 139,82 139,82 1330,17757 1329,47847 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-10-31 9,5495 9,5445 139,78 139,78 1334,82911 1334,13021 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-02 9,5855 9,5805 143,45 143,45 1375,039975 1374,322725 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-03 9,6515 9,6465 144,14 144,14 1391,16721 1390,44651 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-04 9,5875 9,5825 146,48 146,48 1404,377 1403,6446 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-07 9,6075 9,6025 146,15 146,15 1404,136125 1403,405375 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-08 9,5685 9,5635 146,61 146,61 1402,837785 1402,104735 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-09 9,5575 9,5525 146,6 146,6 1401,1295 1400,3965 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-10 9,6105 9,6055 146,74 146,74 1410,24477 1409,51107 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-11 9,6365 9,6315 147,11 147,11 1417,625515 1416,889965 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-14 9,5505 9,5455 148,54 148,54 1418,63127 1417,88857 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-15 9,5805 9,5755 148,75 148,75 1425,099375 1424,355625 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-16 9,6235 9,6185 149,12 149,12 1435,05632 1434,31072 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-17 9,6355 9,6305 148,11 148,11 1427,113905 1426,373355 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-18 9,6085 9,6035 149,03 149,03 1431,954755 1431,209605 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-21 9,5915 9,5865 150,23 150,23 1440,931045 1440,179895 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-22 9,5585 9,5535 151 151 1443,3335 1442,5785 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-23 9,5155 9,5105 151,19 151,19 1438,648445 1437,892495 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-24 9,5125 9,5075 151,81 151,81 1444,092625 1443,333575 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-25 9,4965 9,4915 151,38 151,38 1437,58017 1436,82327 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-28 9,4835 9,4785 151,52 151,52 1436,93992 1436,18232 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-29 9,4785 9,4735 150,54 150,54 1426,89339 1426,14069 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-11-30 9,5295 9,5245 150,77 150,77 1436,762715 1436,008865 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-01 9,5165 9,5115 150,2 150,2 1429,3783 1428,6273 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-02 9,4905 9,4855 152,67 152,67 1448,914635 1448,151285 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-05 9,4065 9,4015 153,86 153,86 1447,28409 1446,51479 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-06 9,4185 9,4135 153,24 153,24 1443,29094 1442,52474 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-07 9,4255 9,4205 154,32 154,32 1454,54316 1453,77156 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-08 9,3965 9,3915 154,16 154,16 1448,56444 1447,79364 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-12 9,4315 9,4265 153,54 153,54 1448,11251 1447,34481 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-13 9,4295 9,4245 153,61 153,61 1448,465495 1447,697445 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-14 9,4365 9,4315 153,72 153,72 1450,57878 1449,81018 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-15 9,4345 9,4295 153,53 153,53 1448,478785 1447,711135 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-16 9,4765 9,4715 153,57 153,57 1455,306105 1454,538255 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-19 9,4535 9,4485 154,67 154,67 1462,172845 1461,399495 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-20 9,4015 9,3965 154,2 154,2 1449,7113 1448,9403 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-21 9,4485 9,4435 154,87 154,87 1463,289195 1462,514845 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-22 9,4365 9,4315 156,1 156,1 1473,03765 1472,25715 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-23 9,4425 9,4375 155,88 155,88 1471,8969 1471,1175 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-27 9,4915 9,4865 155,7 155,7 1477,82655 1477,04805 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-28 9,4345 9,4295 155,86 155,86 1470,46117 1469,68187 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-29 9,4115 9,4065 155,63 155,63 1464,711745 1463,933595 736975 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Dividend Europe EUR 2005-12-30 9,4325 9,4275 156,34 156,34 1474,67705 1473,89535 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-03 9,0065 9,0015 56,57 56,57 509,497705 509,214855 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-04 9,0345 9,0295 56,93 56,93 514,334085 514,049435 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-05 9,0615 9,0565 56,68 56,68 513,60582 513,32242 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-07 9,0615 9,0565 55,6 55,6 503,8194 503,5414 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-10 9,08619 9,08119 56,09 56,09 509,6443971 509,3639471 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-11 9,08619 9,08119 55,87 55,87 507,6454353 507,3660853 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-12 9,0455 9,0405 56,16 56,16 507,99528 507,71448 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-13 9,0505 9,0455 56,04 56,04 507,19002 506,90982 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-14 9,0455 9,0405 56,26 56,26 508,89983 508,61853 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-17 9,0685 9,0635 57,23 57,23 518,990255 518,704105 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-18 9,0585 9,0535 57,42 57,42 520,13907 519,85197 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-19 9,0225 9,0175 56,33 56,33 508,237425 507,955775 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-20 9,0315 9,0265 56,34 56,34 508,83471 508,55301 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-21 9,0505 9,0455 56,12 56,12 507,91406 507,63346 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-24 9,0655 9,0605 56,16 56,16 509,11848 508,83768 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-25 9,0715 9,0665 56,39 56,39 511,541885 511,259935 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-26 9,0885 9,0835 57,31 57,31 520,861935 520,575385 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-27 9,0675 9,0625 57,22 57,22 518,84235 518,55625 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-28 9,0955 9,0905 57,74 57,74 525,17417 524,88547 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-01-31 9,1075 9,1025 58,82 58,82 535,70315 535,40905 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-01 9,1035 9,0985 58,9 58,9 536,19615 535,90165 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-02 9,0905 9,0855 59,43 59,43 540,248415 539,951265 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-03 9,0695 9,0645 59,61 59,61 540,632895 540,334845 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-04 9,0895 9,0845 60,34 60,34 548,46043 548,15873 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-07 9,0755 9,0705 60,98 60,98 553,42399 553,11909 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-08 9,0895 9,0845 61,46 61,46 558,64067 558,33337 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-09 9,0695 9,0645 61,78 61,78 560,31371 560,00481 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-10 9,0805 9,0755 61,45 61,45 557,996725 557,689475 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-11 9,0935 9,0885 61,44 61,44 558,70464 558,39744 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-14 9,1105 9,1055 61,53 61,53 560,569065 560,261415 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-15 9,0765 9,0715 61,76 61,76 560,56464 560,25584 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-16 9,0705 9,0655 62,28 62,28 564,91074 564,59934 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-17 9,0925 9,0875 63,15 63,15 574,191375 573,875625 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-18 9,0945 9,0895 63,48 63,48 577,31886 577,00146 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-21 9,1185 9,1135 63,58 63,58 579,75423 579,43633 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-22 9,0975 9,0925 64,02 64,02 582,42195 582,10185 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-23 9,1045 9,0995 63,91 63,91 581,868595 581,549045 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-24 9,0715 9,0665 64,01 64,01 580,666715 580,346665 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-25 9,0845 9,0795 64,83 64,83 588,948135 588,623985 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-02-28 9,0505 9,0455 66,86 66,86 605,11643 604,78213 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-01 9,0565 9,0515 67 67 606,7855 606,4505 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-02 9,0645 9,0595 67,16 67,16 608,77182 608,43602 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-03 9,0675 9,0625 65,95 65,95 598,001625 597,671875 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-04 9,0415 9,0365 65,58 65,58 592,94157 592,61367 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-07 9,0425 9,0375 66,03 66,03 597,076275 596,746125 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-08 9,0345 9,0295 67,32 67,32 608,20254 607,86594 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-09 9,0365 9,0315 66,99 66,99 605,355135 605,020185 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-10 9,0655 9,0605 66,98 66,98 607,20719 606,87229 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-11 9,0795 9,0745 65,55 65,55 595,161225 594,833475 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-14 9,0695 9,0645 65,13 65,13 590,696535 590,370885 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-15 9,1035 9,0985 64,12 64,12 583,71642 583,39582 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-16 9,0975 9,0925 64,09 64,09 583,058775 582,738325 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-17 9,1045 9,0995 61,32 61,32 558,28794 557,98134 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-18 9,1035 9,0985 61,14 61,14 556,58799 556,28229 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-21 9,1265 9,1215 61,96 61,96 565,47794 565,16814 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-22 9,1265 9,1215 60,61 60,61 553,157165 552,854115 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-23 9,1165 9,1115 61,99 61,99 565,131835 564,821885 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-24 9,1135 9,1085 60,93 60,93 555,285555 554,980905 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-29 9,1315 9,1265 62,41 62,41 569,896915 569,584865 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-30 9,1425 9,1375 61,91 61,91 566,012175 565,702625 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-03-31 9,1405 9,1355 61,44 61,44 561,59232 561,28512 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-01 9,1645 9,1595 62,37 62,37 571,589865 571,278015 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-04 9,1695 9,1645 63,26 63,26 580,06257 579,74627 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-05 9,1745 9,1695 63,34 63,34 581,11283 580,79613 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-06 9,1705 9,1655 63,82 63,82 585,26131 584,94221 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-07 9,1505 9,1455 64,91 64,91 593,958955 593,634405 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-08 9,1625 9,1575 65,08 65,08 596,2955 595,9701 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-11 9,1705 9,1655 65,26 65,26 598,46683 598,14053 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-12 9,1525 9,1475 64,1 64,1 586,67525 586,35475 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-13 9,1495 9,1445 63,86 63,86 584,28707 583,96777 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-14 9,1685 9,1635 64,35 64,35 589,992975 589,671225 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-15 9,1925 9,1875 63,75 63,75 586,021875 585,703125 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-18 9,1805 9,1755 62,59 62,59 574,607495 574,294545 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-19 9,2035 9,1985 60,85 60,85 560,032975 559,728725 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-20 9,1915 9,1865 61,02 61,02 560,86533 560,56023 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-21 9,1855 9,1805 60,98 60,98 560,13179 559,82689 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-22 9,1625 9,1575 61,1 61,1 559,82875 559,52325 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-25 9,1685 9,1635 61,58 61,58 564,59623 564,28833 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-26 9,1375 9,1325 62,29 62,29 569,174875 568,863425 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-27 9,1465 9,1415 62,08 62,08 567,81472 567,50432 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-28 9,1505 9,1455 60,94 60,94 557,63147 557,32677 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-04-29 9,1705 9,1655 59,36 59,36 544,36088 544,06408 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-03 9,2245 9,2195 59,93 59,93 552,824285 552,524635 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-04 9,1915 9,1865 59,99 59,99 551,398085 551,098135 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-06 9,1715 9,1665 60,62 60,62 555,97633 555,67323 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-09 9,1815 9,1765 60,89 60,89 559,061535 558,757085 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-10 9,1985 9,1935 60,96 60,96 560,74056 560,43576 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-11 9,2105 9,2055 60,16 60,16 554,10368 553,80288 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-12 9,2315 9,2265 59,7 59,7 551,12055 550,82205 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-13 9,2045 9,1995 59,5 59,5 547,66775 547,37025 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-17 9,2325 9,2275 58,35 58,35 538,716375 538,424625 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-18 9,2095 9,2045 59,15 59,15 544,741925 544,446175 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-19 9,1905 9,1855 60,35 60,35 554,646675 554,344925 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-20 9,1955 9,1905 60,79 60,79 558,994445 558,690495 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-23 9,1805 9,1755 61,21 61,21 561,938405 561,632355 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-24 9,1815 9,1765 61,09 61,09 560,897835 560,592385 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-25 9,1785 9,1735 61,71 61,71 566,405235 566,096685 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-26 9,1945 9,1895 61,09 61,09 561,692005 561,386555 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-27 9,1955 9,1905 61,66 61,66 566,99453 566,68623 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-05-30 9,1905 9,1855 62,18 62,18 571,46529 571,15439 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-01 9,1455 9,1405 62,99 62,99 576,075045 575,760095 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-02 9,1565 9,1515 63,04 63,04 577,22576 576,91056 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-03 9,1315 9,1265 63,42 63,42 579,11973 578,80263 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-07 9,1455 9,1405 64,37 64,37 588,695835 588,373985 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-08 9,1455 9,1405 64,58 64,58 590,61639 590,29349 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-09 9,1965 9,1915 64,28 64,28 591,15102 590,82962 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-10 9,1975 9,1925 64,69 64,69 594,986275 594,662825 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-13 9,2365 9,2315 65,47 65,47 604,713655 604,386305 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-14 9,2985 9,2935 66,12 66,12 614,81682 614,48622 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-15 9,2695 9,2645 66,13 66,13 612,992035 612,661385 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-16 9,2695 9,2645 66,15 66,15 613,177425 612,846675 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-17 9,2695 9,2645 66,69 66,69 618,182955 617,849505 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-20 9,2255 9,2205 66,42 66,42 612,75771 612,42561 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-21 9,2725 9,2675 66,84 66,84 619,7739 619,4397 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-22 9,2615 9,2565 67,03 67,03 620,798345 620,463195 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-27 9,3855 9,3805 67,16 67,16 630,33018 629,99438 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-28 9,3995 9,3945 66,46 66,46 624,69077 624,35847 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-29 9,4215 9,4165 67,2 67,2 633,1248 632,7888 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-06-30 9,4415 9,4365 67,27 67,27 635,129705 634,793355 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-01 9,4595 9,4545 67,73 67,73 640,691935 640,353285 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-04 9,4795 9,4745 69,23 69,23 656,265785 655,919635 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-05 9,4575 9,4525 69,91 69,91 661,173825 660,824275 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-06 9,4195 9,4145 69,72 69,72 656,72754 656,37894 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-07 9,3965 9,3915 70,9 70,9 666,21185 665,85735 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-08 9,4175 9,4125 70,07 70,07 659,884225 659,533875 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-11 9,4665 9,4615 71,28 71,28 674,77212 674,41572 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-12 9,4645 9,4595 70,64 70,64 668,57228 668,21908 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-13 9,3915 9,3865 70,62 70,62 663,22773 662,87463 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-14 9,3675 9,3625 71,61 71,61 670,806675 670,448625 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-15 9,4055 9,4005 71,32 71,32 670,80026 670,44366 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-18 9,3895 9,3845 71,27 71,27 669,189665 668,833315 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-19 9,4425 9,4375 70,77 70,77 668,245725 667,891875 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-20 9,4265 9,4215 71,51 71,51 674,089015 673,731465 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-21 9,4625 9,4575 72,06 72,06 681,86775 681,50745 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-22 9,4495 9,4445 71,56 71,56 676,20622 675,84842 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-25 9,4275 9,4225 72,13 72,13 680,005575 679,644925 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-26 9,4155 9,4105 72,74 72,74 684,88347 684,51977 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-27 9,4725 9,4675 72,56 72,56 687,3246 686,9618 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-28 9,4515 9,4465 73,36 73,36 693,36204 692,99524 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-07-29 9,3885 9,3835 74,07 74,07 695,406195 695,035845 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-01 9,3985 9,3935 74,32 74,32 698,49652 698,12492 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-02 9,3995 9,3945 74,67 74,67 701,860665 701,487315 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-03 9,3755 9,3705 75,99 75,99 712,444245 712,064295 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-04 9,3735 9,3685 74,98 74,98 702,82503 702,45013 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-05 9,3355 9,3305 75,19 75,19 701,936245 701,560295 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-08 9,3335 9,3285 75,54 75,54 705,05259 704,67489 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-09 9,3455 9,3405 76,32 76,32 713,24856 712,86696 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-10 9,3535 9,3485 76,68 76,68 717,22638 716,84298 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-11 9,3365 9,3315 76,7 76,7 716,10955 715,72605 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-12 9,3025 9,2975 75,54 75,54 702,71085 702,33315 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-16 9,2995 9,2945 75,37 75,37 700,903315 700,526465 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-17 9,3405 9,3355 76,89 76,89 718,191045 717,806595 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-18 9,3365 9,3315 76,89 76,89 717,883485 717,499035 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-19 9,3395 9,3345 76,91 76,91 718,300945 717,916395 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-22 9,3655 9,3605 77,21 77,21 723,110255 722,724205 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-23 9,3715 9,3665 77,62 77,62 727,41583 727,02773 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-24 9,3365 9,3315 77,84 77,84 726,75316 726,36396 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-25 9,3335 9,3285 77,96 77,96 727,63966 727,24986 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-26 9,3415 9,3365 77,99 77,99 728,543585 728,153635 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-29 9,3295 9,3245 78,49 78,49 732,272455 731,880005 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-30 9,3285 9,3235 78,89 78,89 735,925365 735,530915 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-08-31 9,3585 9,3535 79,91 79,91 747,837735 747,438185 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-01 9,3365 9,3315 79,99 79,99 746,826635 746,426685 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-02 9,3025 9,2975 81,3 81,3 756,29325 755,88675 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-05 9,2845 9,2795 82,49 82,49 765,878405 765,465955 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-06 9,3225 9,3175 81,94 81,94 763,88565 763,47595 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-07 9,3075 9,3025 81,34 81,34 757,07205 756,66535 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-08 9,3255 9,3205 80,61 80,61 751,728555 751,325505 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-09 9,3445 9,3395 81,46 81,46 761,20297 760,79567 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-12 9,3015 9,2965 83,05 83,05 772,489575 772,074325 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-13 9,3015 9,2965 84 84 781,326 780,906 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-14 9,3365 9,3315 83,31 83,31 777,823815 777,407265 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-15 9,3425 9,3375 83,32 83,32 778,4171 778,0005 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-16 9,3465 9,3415 85,25 85,25 796,789125 796,362875 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-19 9,3355 9,3305 86,64 86,64 808,82772 808,39452 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-20 9,3395 9,3345 88,53 88,53 826,825935 826,383285 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-21 9,3405 9,3355 87,91 87,91 821,123355 820,683805 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-22 9,3405 9,3355 88,78 88,78 829,24959 828,80569 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-23 9,3695 9,3645 89,09 89,09 834,728755 834,283305 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-26 9,3815 9,3765 88,52 88,52 830,45038 830,00778 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-27 9,3885 9,3835 88,9 88,9 834,63765 834,19315 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-28 9,3935 9,3885 91,09 91,09 855,653915 855,198465 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-29 9,3845 9,3795 90,82 90,82 852,30029 851,84619 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-09-30 9,3435 9,3385 91,07 91,07 850,912545 850,457195 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-03 9,3025 9,2975 91,19 91,19 848,294975 847,839025 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-04 9,3185 9,3135 93,3 93,3 869,41605 868,94955 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-05 9,3105 9,3055 93,66 93,66 872,02143 871,55313 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-06 9,3015 9,2965 90,79 90,79 844,483185 844,029235 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-07 9,3385 9,3335 85,83 85,83 801,523455 801,094305 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-10 9,3465 9,3415 85,71 85,71 801,088515 800,659965 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-11 9,3395 9,3345 86,97 86,97 812,256315 811,821465 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-12 9,3375 9,3325 89,01 89,01 831,130875 830,685825 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-13 9,3815 9,3765 86,5 86,5 811,49975 811,06725 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-14 9,4135 9,4085 83,83 83,83 789,133705 788,714555 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-17 9,4575 9,4525 81,37 81,37 769,556775 769,149925 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-18 9,4625 9,4575 82,53 82,53 780,940125 780,527475 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-19 9,4605 9,4555 82,58 82,58 781,24809 780,83519 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-20 9,4935 9,4885 79,25 79,25 752,359875 751,963625 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-21 9,4915 9,4865 79,81 79,81 757,516615 757,117565 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-24 9,5455 9,5405 79,68 79,68 760,58544 760,18704 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-25 9,5465 9,5415 81,38 81,38 776,89417 776,48727 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-26 9,4975 9,4925 80,91 80,91 768,442725 768,038175 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-27 9,5355 9,5305 81,26 81,26 774,85473 774,44843 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-28 9,5135 9,5085 79,76 79,76 758,79676 758,39796 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-10-31 9,5495 9,5445 80,65 80,65 770,167175 769,763925 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-02 9,5855 9,5805 83,22 83,22 797,70531 797,28921 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-03 9,6515 9,6465 85,13 85,13 821,632195 821,206545 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-04 9,5875 9,5825 86,69 86,69 831,140375 830,706925 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-07 9,6075 9,6025 87,84 87,84 843,9228 843,4836 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-08 9,5685 9,5635 87,27 87,27 835,042995 834,606645 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-09 9,5575 9,5525 86,89 86,89 830,451175 830,016725 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-10 9,6105 9,6055 87,21 87,21 838,131705 837,695655 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-11 9,6365 9,6315 86,29 86,29 831,533585 831,102135 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-14 9,5505 9,5455 85,84 85,84 819,81492 819,38572 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-15 9,5805 9,5755 86,8 86,8 831,5874 831,1534 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-16 9,6235 9,6185 86,38 86,38 831,27793 830,84603 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-17 9,6355 9,6305 87,06 87,06 838,86663 838,43133 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-18 9,6085 9,6035 88,22 88,22 847,66187 847,22077 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-21 9,5915 9,5865 88,51 88,51 848,943665 848,501115 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-22 9,5585 9,5535 88,63 88,63 847,169855 846,726705 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-23 9,5155 9,5105 87,81 87,81 835,556055 835,117005 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-24 9,5125 9,5075 87,79 87,79 835,102375 834,663425 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-25 9,4965 9,4915 88,52 88,52 840,63018 840,18758 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-28 9,4835 9,4785 89,57 89,57 849,437095 848,989245 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-29 9,4785 9,4735 90,11 90,11 854,107635 853,657085 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-11-30 9,5295 9,5245 89,71 89,71 854,891445 854,442895 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-01 9,5165 9,5115 89,78 89,78 854,39137 853,94247 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-02 9,4905 9,4855 91,31 91,31 866,577555 866,121005 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-05 9,4065 9,4015 92,81 92,81 873,017265 872,553215 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-06 9,4185 9,4135 92,4 92,4 870,2694 869,8074 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-07 9,4255 9,4205 91,47 91,47 862,150485 861,693135 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-08 9,3965 9,3915 92,28 92,28 867,10902 866,64762 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-12 9,4315 9,4265 90,75 90,75 855,908625 855,454875 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-13 9,4295 9,4245 91,21 91,21 860,064695 859,608645 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-14 9,4365 9,4315 91,07 91,07 859,382055 858,926705 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-15 9,4345 9,4295 90,79 90,79 856,558255 856,104305 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-16 9,4765 9,4715 90,87 90,87 861,129555 860,675205 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-19 9,4535 9,4485 90,86 90,86 858,94501 858,49071 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-20 9,4015 9,3965 91,26 91,26 857,98089 857,52459 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-21 9,4485 9,4435 92,01 92,01 869,356485 868,896435 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-22 9,4365 9,4315 92,78 92,78 875,51847 875,05457 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-23 9,4425 9,4375 92,38 92,38 872,29815 871,83625 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-27 9,4915 9,4865 92,7 92,7 879,86205 879,39855 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-28 9,4345 9,4295 92,63 92,63 873,917735 873,454585 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-29 9,4115 9,4065 91,97 91,97 865,575655 865,115805 701144 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Eastern Europe EUR 2005-12-30 9,4325 9,4275 92,67 92,67 874,109775 873,646425 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-03 6,668 6,658 1104,33 1104,33 7363,67244 7352,62914 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-04 6,728 6,718 1103,04 1103,04 7421,25312 7410,22272 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-05 6,828 6,818 1082,94 1082,94 7394,31432 7383,48492 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-07 6,87 6,86 1054,91 1054,91 7247,2317 7236,6826 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-10 6,96091 6,95091 1057,44 1057,44 7360,7446704 7350,1702704 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-11 6,96091 6,95091 1056,94 1056,94 7357,2642154 7346,6948154 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-12 6,913 6,903 1059,7 1059,7 7325,7061 7315,1091 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-13 6,843 6,833 1063,51 1063,51 7277,59893 7266,96383 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-14 6,915 6,905 1067,67 1067,67 7382,93805 7372,26135 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-17 6,915 6,905 1077,02 1077,02 7447,5933 7436,8231 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-18 6,968 6,958 1086,56 1086,56 7571,15008 7560,28448 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-19 6,91 6,9 1079,91 1079,91 7462,1781 7451,379 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-20 6,96 6,95 1078,56 1078,56 7506,7776 7495,992 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-21 6,978 6,968 1068,52 1068,52 7456,13256 7445,44736 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-24 6,933 6,923 1070,3 1070,3 7420,3899 7409,6869 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-25 6,95 6,94 1070,15 1070,15 7437,5425 7426,841 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-26 6,995 6,985 1071,44 1071,44 7494,7228 7484,0084 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-27 6,93 6,92 1081,87 1081,87 7497,3591 7486,5404 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-28 6,985 6,975 1084,62 1084,62 7576,0707 7565,2245 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-01-31 6,998 6,988 1088,66 1088,66 7618,44268 7607,55608 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-01 6,993 6,983 1100,04 1100,04 7692,57972 7681,57932 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-02 6,953 6,943 1100,63 1100,63 7652,68039 7641,67409 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-03 6,968 6,958 1105,14 1105,14 7700,61552 7689,56412 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-04 7,01 7 1110,4 1110,4 7783,904 7772,8 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-07 7,065 7,055 1118,74 1118,74 7903,8981 7892,7107 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-08 7,123 7,113 1125,2 1125,2 8014,7996 8003,5476 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-09 7,1 7,09 1122,25 1122,25 7967,975 7956,7525 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-10 7,088 7,078 1124,42 1124,42 7969,88896 7958,64476 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-11 7,068 7,058 1123,4 1123,4 7940,1912 7928,9572 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-14 7,03 7,02 1126,88 1126,88 7921,9664 7910,6976 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-15 7,005 6,995 1138,43 1138,43 7974,70215 7963,31785 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-16 6,973 6,963 1143,65 1143,65 7974,67145 7963,23495 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-17 6,97 6,96 1141,86 1141,86 7958,7642 7947,3456 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-18 6,965 6,955 1143,27 1143,27 7962,87555 7951,44285 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-21 6,978 6,968 1147,64 1147,64 8008,23192 7996,75552 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-22 6,905 6,895 1147,93 1147,93 7926,45665 7914,97735 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-23 6,895 6,885 1155,18 1155,18 7964,9661 7953,4143 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-24 6,858 6,848 1152,96 1152,96 7906,99968 7895,47008 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-25 6,885 6,875 1166 1166 8027,91 8016,25 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-02-28 6,828 6,818 1176,25 1176,25 8031,435 8019,6725 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-01 6,87 6,86 1187,91 1187,91 8160,9417 8149,0626 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-02 6,888 6,878 1182,84 1182,84 8147,40192 8135,57352 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-03 6,903 6,893 1168,92 1168,92 8069,05476 8057,36556 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-04 6,9 6,89 1170,86 1170,86 8078,934 8067,2254 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-07 6,84 6,83 1175,42 1175,42 8039,8728 8028,1186 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-08 6,825 6,815 1180,69 1180,69 8058,20925 8046,40235 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-09 6,76 6,75 1175,79 1175,79 7948,3404 7936,5825 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-10 6,745 6,735 1175,08 1175,08 7925,9146 7914,1638 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-11 6,765 6,755 1163,17 1163,17 7868,84505 7857,21335 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-14 6,76 6,75 1167,29 1167,29 7890,8804 7879,2075 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-15 6,815 6,805 1151,24 1151,24 7845,7006 7834,1882 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-16 6,81 6,8 1131,36 1131,36 7704,5616 7693,248 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-17 6,795 6,785 1128,21 1128,21 7666,18695 7654,90485 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-18 6,828 6,818 1125,4 1125,4 7684,2312 7672,9772 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-21 6,908 6,898 1126,86 1126,86 7784,34888 7773,08028 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-22 6,928 6,918 1118 1118 7745,504 7734,324 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-23 6,973 6,963 1110,74 1110,74 7745,19002 7734,08262 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-24 7,008 6,998 1093,68 1093,68 7664,50944 7653,57264 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-29 7,055 7,045 1089,59 1089,59 7687,05745 7676,16155 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-30 7,053 7,043 1075,77 1075,77 7587,40581 7576,64811 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-03-31 7,065 7,055 1078,82 1078,82 7621,8633 7611,0751 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-01 7,07 7,06 1095,04 1095,04 7741,9328 7730,9824 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-04 7,113 7,103 1109,93 1109,93 7894,93209 7883,83279 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-05 7,163 7,153 1099,79 1099,79 7877,79577 7866,79787 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-06 7,125 7,115 1099,53 1099,53 7834,15125 7823,15595 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-07 7,083 7,073 1105,77 1105,77 7832,16891 7821,11121 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-08 7,153 7,143 1110,72 1110,72 7944,98016 7933,87296 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-11 7,098 7,088 1111,49 1111,49 7889,35602 7878,24112 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-12 7,048 7,038 1106,53 1106,53 7798,82344 7787,75814 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-13 7,075 7,065 1105,93 1105,93 7824,45475 7813,39545 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-14 7,12 7,11 1107,58 1107,58 7885,9696 7874,8938 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-15 7,17 7,16 1086,34 1086,34 7789,0578 7778,1944 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-18 7,08 7,07 1072,34 1072,34 7592,1672 7581,4438 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-19 7,068 7,058 1055,46 1055,46 7459,99128 7449,43668 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-20 7,043 7,033 1068,87 1068,87 7528,05141 7517,36271 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-21 7,025 7,015 1069,79 1069,79 7515,27475 7504,57685 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-22 7,023 7,013 1075,59 1075,59 7553,86857 7543,11267 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-25 7,04 7,03 1076,39 1076,39 7577,7856 7567,0217 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-26 7,035 7,025 1082,93 1082,93 7618,41255 7607,58325 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-27 7,085 7,075 1085,88 1085,88 7693,4598 7682,601 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-28 7,085 7,075 1077,85 1077,85 7636,56725 7625,78875 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-04-29 7,08 7,07 1062,02 1062,02 7519,1016 7508,4814 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-03 7,178 7,168 1069,01 1069,01 7673,35378 7662,66368 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-04 7,11 7,1 1071,34 1071,34 7617,2274 7606,514 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-06 7,085 7,075 1097,48 1097,48 7775,6458 7764,671 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-09 7,168 7,158 1104,79 1104,79 7919,13472 7908,08682 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-10 7,178 7,168 1104,72 1104,72 7929,68016 7918,63296 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-11 7,15 7,14 1096,94 1096,94 7843,121 7832,1516 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-12 7,243 7,233 1087,55 1087,55 7877,12465 7866,24915 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-13 7,265 7,255 1080,4 1080,4 7849,106 7838,302 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-17 7,313 7,303 1076,04 1076,04 7869,08052 7858,32012 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-18 7,3 7,29 1073,44 1073,44 7836,112 7825,3776 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-19 7,26 7,25 1083,16 1083,16 7863,7416 7852,91 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-20 7,28 7,27 1094,09 1094,09 7964,9752 7954,0343 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-23 7,32 7,31 1092,39 1092,39 7996,2948 7985,3709 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-24 7,295 7,285 1089,06 1089,06 7944,6927 7933,8021 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-25 7,298 7,288 1093,12 1093,12 7977,58976 7966,65856 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-26 7,33 7,32 1087,04 1087,04 7968,0032 7957,1328 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-27 7,338 7,328 1091,84 1091,84 8011,92192 8001,00352 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-30 7,338 7,328 1102,43 1102,43 8089,63134 8078,60704 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-05-31 7,403 7,393 1108,06 1108,06 8202,96818 8191,88758 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-01 7,428 7,418 1099,56 1099,56 8167,53168 8156,53608 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-02 7,473 7,463 1097,01 1097,01 8197,95573 8186,98563 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-03 7,438 7,428 1105,72 1105,72 8224,34536 8213,28816 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-07 7,448 7,438 1111,63 1111,63 8279,42024 8268,30394 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-08 7,435 7,425 1107,97 1107,97 8237,75695 8226,67725 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-09 7,523 7,513 1109,5 1109,5 8346,7685 8335,6735 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-10 7,525 7,515 1105,56 1105,56 8319,339 8308,2834 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-13 7,643 7,633 1111,8 1111,8 8497,4874 8486,3694 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-14 7,663 7,653 1113,36 1113,36 8531,67768 8520,54408 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-15 7,693 7,683 1115,66 1115,66 8582,77238 8571,61578 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-16 7,678 7,668 1125,85 1125,85 8644,2763 8633,0178 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-17 7,643 7,633 1130,5 1130,5 8640,4115 8629,1065 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-20 7,543 7,533 1138,43 1138,43 8587,17749 8575,79319 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-21 7,648 7,638 1137,57 1137,57 8700,13536 8688,75966 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-22 7,608 7,598 1131,92 1131,92 8611,64736 8600,32816 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-27 7,73 7,72 1128,14 1128,14 8720,5222 8709,2408 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-28 7,76 7,75 1128,6 1128,6 8757,936 8746,65 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-29 7,833 7,823 1130,59 1130,59 8855,91147 8844,60557 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-06-30 7,823 7,813 1125,97 1125,97 8808,46331 8797,20361 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-01 7,858 7,848 1124,56 1124,56 8836,79248 8825,54688 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-04 7,945 7,935 1133,54 1133,54 9005,9753 8994,6399 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-05 7,963 7,953 1129,02 1129,02 8990,38626 8979,09606 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-06 7,895 7,885 1124,45 1124,45 8877,53275 8866,28825 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-07 7,878 7,868 1129,5 1129,5 8898,201 8886,906 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-08 7,913 7,903 1123,31 1123,31 8888,75203 8877,51893 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-11 7,89 7,88 1126,83 1126,83 8890,6887 8879,4204 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-12 7,77 7,76 1146,19 1146,19 8905,8963 8894,4344 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-13 7,703 7,693 1161,71 1161,71 8948,65213 8937,03503 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-14 7,76 7,75 1165,85 1165,85 9046,996 9035,3375 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-15 7,76 7,75 1174,82 1174,82 9116,6032 9104,855 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-18 7,78 7,77 1165,3 1165,3 9066,034 9054,381 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-19 7,878 7,868 1165,9 1165,9 9184,9602 9173,3012 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-20 7,818 7,808 1172,13 1172,13 9163,71234 9151,99104 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-21 7,775 7,765 1176,24 1176,24 9145,266 9133,5036 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-22 7,758 7,748 1183,78 1183,78 9183,76524 9171,92744 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-25 7,838 7,828 1191,25 1191,25 9337,0175 9325,105 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-26 7,818 7,808 1186,63 1186,63 9277,07334 9265,20704 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-27 7,905 7,895 1182,1 1182,1 9344,5005 9332,6795 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-28 7,848 7,838 1186,39 1186,39 9310,78872 9298,92482 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-07-29 7,748 7,738 1198,88 1198,88 9288,92224 9276,93344 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-01 7,72 7,71 1202,26 1202,26 9281,4472 9269,4246 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-02 7,7 7,69 1211,78 1211,78 9330,706 9318,5882 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-03 7,685 7,675 1225,43 1225,43 9417,42955 9405,17525 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-04 7,618 7,608 1231,63 1231,63 9382,55734 9370,24104 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-05 7,548 7,538 1230,76 1230,76 9289,77648 9277,46888 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-08 7,558 7,548 1222,11 1222,11 9236,70738 9224,48628 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-09 7,548 7,538 1223,84 1223,84 9237,54432 9225,30592 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-10 7,558 7,548 1232,46 1232,46 9314,93268 9302,60808 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-11 7,523 7,513 1244,08 1244,08 9359,21384 9346,77304 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-12 7,46 7,45 1245,39 1245,39 9290,6094 9278,1555 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-16 7,523 7,513 1243,07 1243,07 9351,61561 9339,18491 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-17 7,605 7,595 1233,7 1233,7 9382,2885 9369,9515 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-18 7,61 7,6 1231,42 1231,42 9371,1062 9358,792 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-19 7,698 7,688 1219,09 1219,09 9384,55482 9372,36392 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-08-22 7,69 7,68 1212,06 1212,06 9320,7414 9308,6208 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging 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(Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-09-16 7,613 7,603 1278,44 1278,44 9732,76372 9719,97932 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-09-19 7,698 7,688 1282,5 1282,5 9872,685 9859,86 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-09-20 7,688 7,678 1284,42 1284,42 9874,62096 9861,77676 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-09-21 7,663 7,653 1293,47 1293,47 9911,86061 9898,92591 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-09-22 7,648 7,638 1302,95 1302,95 9964,9616 9951,9321 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-09-23 7,733 7,723 1290,43 1290,43 9978,89519 9965,99089 286351 Credit Suisse Asset 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2005-10-19 7,96 7,95 1228,26 1228,26 9776,9496 9764,667 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-10-20 7,93 7,92 1205,83 1205,83 9562,2319 9550,1736 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-10-21 7,883 7,873 1204,88 1204,88 9498,06904 9486,02024 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-10-24 7,995 7,985 1212,93 1212,93 9697,37535 9685,24605 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-10-25 7,99 7,98 1220,72 1220,72 9753,5528 9741,3456 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging Markets USD 2005-10-26 7,868 7,858 1217,91 1217,91 9582,51588 9570,33678 286351 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Emerging 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Credit Suisse Equity Fund (Lux) European Growth EUR 2005-10-26 9,4975 9,4925 11,54 11,54 109,60115 109,54345 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-10-27 9,5355 9,5305 11,56 11,56 110,23038 110,17258 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-10-28 9,5135 9,5085 11,36 11,36 108,07336 108,01656 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-10-31 9,5495 9,5445 11,37 11,37 108,577815 108,520965 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-02 9,5855 9,5805 11,72 11,72 112,34206 112,28346 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-03 9,6515 9,6465 11,76 11,76 113,50164 113,44284 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-04 9,5875 9,5825 11,93 11,93 114,378875 114,319225 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-07 9,6075 9,6025 11,89 11,89 114,233175 114,173725 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-08 9,5685 9,5635 11,94 11,94 114,24789 114,18819 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-09 9,5575 9,5525 11,95 11,95 114,212125 114,152375 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-10 9,6105 9,6055 11,93 11,93 114,653265 114,593615 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-11 9,6365 9,6315 11,93 11,93 114,963445 114,903795 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-14 9,5505 9,5455 12,02 12,02 114,79701 114,73691 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-15 9,5805 9,5755 12,03 12,03 115,253415 115,193265 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-16 9,6235 9,6185 11,94 11,94 114,90459 114,84489 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-17 9,6355 9,6305 11,83 11,83 113,987965 113,928815 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-18 9,6085 9,6035 11,86 11,86 113,95681 113,89751 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-21 9,5915 9,5865 11,9 11,9 114,13885 114,07935 250522 Credit Suisse Asset Management Fund Service 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(Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-11-30 9,5295 9,5245 11,96 11,96 113,97282 113,91302 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-01 9,5165 9,5115 11,95 11,95 113,722175 113,662425 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-02 9,4905 9,4855 12,12 12,12 115,02486 114,96426 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-05 9,4065 9,4015 12,2 12,2 114,7593 114,6983 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-06 9,4185 9,4135 12,1 12,1 113,96385 113,90335 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-07 9,4255 9,4205 12,12 12,12 114,23706 114,17646 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-08 9,3965 9,3915 12,11 12,11 113,791615 113,731065 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-12 9,4315 9,4265 12,14 12,14 114,49841 114,43771 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-13 9,4295 9,4245 12,14 12,14 114,47413 114,41343 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-14 9,4365 9,4315 12,16 12,16 114,74784 114,68704 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-15 9,4345 9,4295 12,11 12,11 114,251795 114,191245 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-16 9,4765 9,4715 12,08 12,08 114,47612 114,41572 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-19 9,4535 9,4485 12,05 12,05 113,914675 113,854425 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-20 9,4015 9,3965 12,06 12,06 113,38209 113,32179 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-21 9,4485 9,4435 12,1 12,1 114,32685 114,26635 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-22 9,4365 9,4315 12,17 12,17 114,842205 114,781355 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-23 9,4425 9,4375 12,14 12,14 114,63195 114,57125 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-27 9,4915 9,4865 12,17 12,17 115,511555 115,450705 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-28 9,4345 9,4295 12,21 12,21 115,195245 115,134195 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-29 9,4115 9,4065 12,2 12,2 114,8203 114,7593 250522 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Growth EUR 2005-12-30 9,4325 9,4275 12,26 12,26 115,64245 115,58115 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-01-03 9,0065 9,0015 15,65 15,65 140,951725 140,873475 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-01-04 9,0345 9,0295 15,7 15,7 141,84165 141,76315 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-01-05 9,0615 9,0565 15,51 15,51 140,543865 140,466315 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-01-07 9,0615 9,0565 15,35 15,35 139,094025 139,017275 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-01-10 9,08619 9,08119 15,57 15,57 141,4719783 141,3941283 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-01-11 9,08619 9,08119 15,59 15,59 141,6537021 141,5757521 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-01-12 9,0455 9,0405 15,62 15,62 141,29071 141,21261 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-01-13 9,0505 9,0455 15,69 15,69 142,002345 141,923895 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-01-14 9,0455 9,0405 15,72 15,72 142,19526 142,11666 665315 Credit Suisse Asset 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665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-02 9,0905 9,0855 16,09 16,09 146,266145 146,185695 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-03 9,0695 9,0645 16,2 16,2 146,9259 146,8449 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-04 9,0895 9,0845 16,23 16,23 147,522585 147,441435 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-07 9,0755 9,0705 16,26 16,26 147,56763 147,48633 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-08 9,0895 9,0845 16,36 16,36 148,70422 148,62242 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-09 9,0695 9,0645 16,41 16,41 148,830495 148,748445 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-10 9,0805 9,0755 16,47 16,47 149,555835 149,473485 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-11 9,0935 9,0885 16,41 16,41 149,224335 149,142285 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-14 9,1105 9,1055 16,53 16,53 150,596565 150,513915 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-15 9,0765 9,0715 16,66 16,66 151,21449 151,13119 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-16 9,0705 9,0655 16,7 16,7 151,47735 151,39385 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-17 9,0925 9,0875 16,68 16,68 151,6629 151,5795 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-18 9,0945 9,0895 16,63 16,63 151,241535 151,158385 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-21 9,1185 9,1135 16,71 16,71 152,370135 152,286585 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-22 9,0975 9,0925 16,26 16,26 147,92535 147,84405 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-23 9,1045 9,0995 16,07 16,07 146,309315 146,228965 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-24 9,0715 9,0665 16,11 16,11 146,141865 146,061315 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-25 9,0845 9,0795 16,05 16,05 145,806225 145,725975 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-02-28 9,0505 9,0455 16,05 16,05 145,260525 145,180275 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-01 9,0565 9,0515 16,13 16,13 146,081345 146,000695 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-02 9,0645 9,0595 16,13 16,13 146,210385 146,129735 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-03 9,0675 9,0625 16,07 16,07 145,714725 145,634375 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-04 9,0415 9,0365 16,01 16,01 144,754415 144,674365 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-07 9,0425 9,0375 16,1 16,1 145,58425 145,50375 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-08 9,0345 9,0295 16,2 16,2 146,3589 146,2779 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-09 9,0365 9,0315 16,11 16,11 145,578015 145,497465 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-10 9,0655 9,0605 15,98 15,98 144,86669 144,78679 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-11 9,0795 9,0745 15,79 15,79 143,365305 143,286355 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-14 9,0695 9,0645 15,73 15,73 142,663235 142,584585 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European 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European Property EUR 2005-03-23 9,1165 9,1115 15,57 15,57 141,943905 141,866055 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-24 9,1135 9,1085 15,43 15,43 140,621305 140,544155 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-29 9,1315 9,1265 15,57 15,57 142,177455 142,099605 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-30 9,1425 9,1375 15,59 15,59 142,531575 142,453625 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-03-31 9,1405 9,1355 15,59 15,59 142,500395 142,422445 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-01 9,1645 9,1595 15,67 15,67 143,607715 143,529365 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-04 9,1695 9,1645 15,74 15,74 144,32793 144,24923 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-05 9,1745 9,1695 15,75 15,75 144,498375 144,419625 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-06 9,1705 9,1655 15,8 15,8 144,8939 144,8149 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-07 9,1505 9,1455 15,92 15,92 145,67596 145,59636 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-08 9,1625 9,1575 15,95 15,95 146,141875 146,062125 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-11 9,1705 9,1655 16,11 16,11 147,736755 147,656205 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-12 9,1525 9,1475 16,13 16,13 147,629825 147,549175 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-13 9,1495 9,1445 16,15 16,15 147,764425 147,683675 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-14 9,1685 9,1635 16,3 16,3 149,44655 149,36505 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-15 9,1925 9,1875 16,18 16,18 148,73465 148,65375 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-18 9,1805 9,1755 15,99 15,99 146,796195 146,716245 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-19 9,2035 9,1985 15,8 15,8 145,4153 145,3363 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-20 9,1915 9,1865 16,03 16,03 147,339745 147,259595 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-21 9,1855 9,1805 16,03 16,03 147,243565 147,163415 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-22 9,1625 9,1575 16,01 16,01 146,691625 146,611575 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-25 9,1685 9,1635 16,02 16,02 146,87937 146,79927 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-26 9,1375 9,1325 16,16 16,16 147,662 147,5812 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-27 9,1465 9,1415 16,14 16,14 147,62451 147,54381 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-28 9,1505 9,1455 15,98 15,98 146,22499 146,14509 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-04-29 9,1705 9,1655 15,97 15,97 146,452885 146,373035 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-03 9,2245 9,2195 16,19 16,19 149,344655 149,263705 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-04 9,1915 9,1865 16,22 16,22 149,08613 149,00503 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-06 9,1715 9,1665 16,25 16,25 149,036875 148,955625 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-09 9,1815 9,1765 16,29 16,29 149,566635 149,485185 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-10 9,1985 9,1935 16,27 16,27 149,659595 149,578245 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-11 9,2105 9,2055 16,09 16,09 148,196945 148,116495 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-12 9,2315 9,2265 16,28 16,28 150,28882 150,20742 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-13 9,2045 9,1995 16,43 16,43 151,229935 151,147785 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-17 9,2325 9,2275 16,45 16,45 151,874625 151,792375 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-18 9,2095 9,2045 16,47 16,47 151,680465 151,598115 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-19 9,1905 9,1855 16,45 16,45 151,183725 151,101475 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-20 9,1955 9,1905 16,56 16,56 152,27748 152,19468 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-23 9,1805 9,1755 16,7 16,7 153,31435 153,23085 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-24 9,1815 9,1765 16,79 16,79 154,157385 154,073435 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-25 9,1785 9,1735 16,87 16,87 154,841295 154,756945 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-26 9,1945 9,1895 17,03 17,03 156,582335 156,497185 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-27 9,1955 9,1905 17,07 17,07 156,967185 156,881835 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-05-30 9,1905 9,1855 17,03 17,03 156,514215 156,429065 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-01 9,1455 9,1405 17,23 17,23 157,576965 157,490815 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-02 9,1565 9,1515 17,4 17,4 159,3231 159,2361 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-03 9,1315 9,1265 17,36 17,36 158,52284 158,43604 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-07 9,1455 9,1405 17,52 17,52 160,22916 160,14156 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-08 9,1455 9,1405 17,68 17,68 161,69244 161,60404 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-09 9,1965 9,1915 17,69 17,69 162,686085 162,597635 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-10 9,1975 9,1925 17,63 17,63 162,151925 162,063775 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-13 9,2365 9,2315 17,71 17,71 163,578415 163,489865 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-14 9,2985 9,2935 17,84 17,84 165,88524 165,79604 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-15 9,2695 9,2645 17,89 17,89 165,831355 165,741905 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-16 9,2695 9,2645 17,73 17,73 164,348235 164,259585 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-17 9,2695 9,2645 17,78 17,78 164,81171 164,72281 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-20 9,2255 9,2205 17,98 17,98 165,87449 165,78459 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-21 9,2725 9,2675 17,92 17,92 166,1632 166,0736 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-22 9,2615 9,2565 17,97 17,97 166,429155 166,339305 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-27 9,3855 9,3805 18,03 18,03 169,220565 169,130415 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-28 9,3995 9,3945 17,81 17,81 167,405095 167,316045 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-29 9,4215 9,4165 17,87 17,87 168,362205 168,272855 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-06-30 9,4415 9,4365 17,75 17,75 167,586625 167,497875 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-01 9,4595 9,4545 17,75 17,75 167,906125 167,817375 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-04 9,4795 9,4745 17,82 17,82 168,92469 168,83559 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-05 9,4575 9,4525 17,82 17,82 168,53265 168,44355 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-06 9,4195 9,4145 17,86 17,86 168,23227 168,14297 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-07 9,3965 9,3915 17,99 17,99 169,043035 168,953085 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-08 9,4175 9,4125 17,64 17,64 166,1247 166,0365 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-11 9,4665 9,4615 17,78 17,78 168,31437 168,22547 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-12 9,4645 9,4595 17,96 17,96 169,98242 169,89262 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-13 9,3915 9,3865 17,98 17,98 168,85917 168,76927 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-14 9,3675 9,3625 18,01 18,01 168,708675 168,618625 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-15 9,4055 9,4005 17,92 17,92 168,54656 168,45696 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-18 9,3895 9,3845 17,85 17,85 167,602575 167,513325 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-19 9,4425 9,4375 17,75 17,75 167,604375 167,515625 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-20 9,4265 9,4215 17,68 17,68 166,66052 166,57212 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-21 9,4625 9,4575 17,66 17,66 167,10775 167,01945 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-22 9,4495 9,4445 17,65 17,65 166,783675 166,695425 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-25 9,4275 9,4225 17,76 17,76 167,4324 167,3436 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-26 9,4155 9,4105 17,8 17,8 167,5959 167,5069 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-27 9,4725 9,4675 17,82 17,82 168,79995 168,71085 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-28 9,4515 9,4465 17,97 17,97 169,843455 169,753605 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-07-29 9,3885 9,3835 17,93 17,93 168,335805 168,246155 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-01 9,3985 9,3935 17,88 17,88 168,04518 167,95578 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-02 9,3995 9,3945 18,04 18,04 169,56698 169,47678 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-03 9,3755 9,3705 18,1 18,1 169,69655 169,60605 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-04 9,3735 9,3685 18,08 18,08 169,47288 169,38248 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-05 9,3355 9,3305 18,09 18,09 168,879195 168,788745 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-08 9,3335 9,3285 18,12 18,12 169,12302 169,03242 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-09 9,3455 9,3405 18,16 18,16 169,71428 169,62348 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-10 9,3535 9,3485 18,12 18,12 169,48542 169,39482 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-11 9,3365 9,3315 18,31 18,31 170,951315 170,859765 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-12 9,3025 9,2975 18,08 18,08 168,1892 168,0988 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-16 9,2995 9,2945 18,03 18,03 167,669985 167,579835 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-17 9,3405 9,3355 18,09 18,09 168,969645 168,879195 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-18 9,3365 9,3315 17,97 17,97 167,776905 167,687055 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-19 9,3395 9,3345 17,99 17,99 168,017605 167,927655 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-22 9,3655 9,3605 18,06 18,06 169,14093 169,05063 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-23 9,3715 9,3665 18,06 18,06 169,24929 169,15899 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-24 9,3365 9,3315 18,09 18,09 168,897285 168,806835 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-25 9,3335 9,3285 18 18 168,003 167,913 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-26 9,3415 9,3365 17,92 17,92 167,39968 167,31008 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-29 9,3295 9,3245 17,95 17,95 167,464525 167,374775 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-30 9,3285 9,3235 17,97 17,97 167,633145 167,543295 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-08-31 9,3585 9,3535 18,03 18,03 168,733755 168,643605 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-01 9,3365 9,3315 18,12 18,12 169,17738 169,08678 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-02 9,3025 9,2975 18,22 18,22 169,49155 169,40045 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-05 9,2845 9,2795 18,38 18,38 170,64911 170,55721 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-06 9,3225 9,3175 18,43 18,43 171,813675 171,721525 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-07 9,3075 9,3025 18,44 18,44 171,6303 171,5381 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-08 9,3255 9,3205 18,54 18,54 172,89477 172,80207 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-09 9,3445 9,3395 18,51 18,51 172,966695 172,874145 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-12 9,3015 9,2965 18,52 18,52 172,26378 172,17118 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-13 9,3015 9,2965 18,48 18,48 171,89172 171,79932 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-14 9,3365 9,3315 18,38 18,38 171,60487 171,51297 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-15 9,3425 9,3375 18,52 18,52 173,0231 172,9305 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-16 9,3465 9,3415 18,51 18,51 173,003715 172,911165 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-19 9,3355 9,3305 18,51 18,51 172,800105 172,707555 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-20 9,3395 9,3345 18,66 18,66 174,27507 174,18177 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-21 9,3405 9,3355 18,72 18,72 174,85416 174,76056 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-22 9,3405 9,3355 18,6 18,6 173,7333 173,6403 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-23 9,3695 9,3645 18,47 18,47 173,054665 172,962315 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-26 9,3815 9,3765 18,6 18,6 174,4959 174,4029 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-27 9,3885 9,3835 18,67 18,67 175,283295 175,189945 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-28 9,3935 9,3885 18,63 18,63 175,000905 174,907755 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-29 9,3845 9,3795 18,73 18,73 175,771685 175,678035 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-09-30 9,3435 9,3385 18,67 18,67 174,443145 174,349795 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-03 9,3025 9,2975 18,8 18,8 174,887 174,793 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-04 9,3185 9,3135 18,89 18,89 176,026465 175,932015 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-05 9,3105 9,3055 18,84 18,84 175,40982 175,31562 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-06 9,3015 9,2965 18,72 18,72 174,12408 174,03048 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-07 9,3385 9,3335 18,43 18,43 172,108555 172,016405 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-10 9,3465 9,3415 18,32 18,32 171,22788 171,13628 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-11 9,3395 9,3345 18,31 18,31 171,006245 170,914695 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-12 9,3375 9,3325 18,35 18,35 171,343125 171,251375 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-13 9,3815 9,3765 18,32 18,32 171,86908 171,77748 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-14 9,4135 9,4085 17,98 17,98 169,25473 169,16483 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-17 9,4575 9,4525 17,8 17,8 168,3435 168,2545 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-18 9,4625 9,4575 17,72 17,72 167,6755 167,5869 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-19 9,4605 9,4555 17,77 17,77 168,113085 168,024235 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-20 9,4935 9,4885 17,56 17,56 166,70586 166,61806 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-21 9,4915 9,4865 17,7 17,7 167,99955 167,91105 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-24 9,5455 9,5405 17,54 17,54 167,42807 167,34037 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-25 9,5465 9,5415 17,79 17,79 169,832235 169,743285 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-26 9,4975 9,4925 17,8 17,8 169,0555 168,9665 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-27 9,5355 9,5305 17,72 17,72 168,96906 168,88046 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-28 9,5135 9,5085 17,62 17,62 167,62787 167,53977 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-10-31 9,5495 9,5445 17,57 17,57 167,784715 167,696865 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-02 9,5855 9,5805 18,01 18,01 172,634855 172,544805 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-03 9,6515 9,6465 18,03 18,03 174,016545 173,926395 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-04 9,5875 9,5825 18,36 18,36 176,0265 175,9347 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-07 9,6075 9,6025 18,48 18,48 177,5466 177,4542 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-08 9,5685 9,5635 18,62 18,62 178,16547 178,07237 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-09 9,5575 9,5525 18,63 18,63 178,056225 177,963075 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-10 9,6105 9,6055 18,58 18,58 178,56309 178,47019 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-11 9,6365 9,6315 18,58 18,58 179,04617 178,95327 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-14 9,5505 9,5455 18,83 18,83 179,835915 179,741765 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-15 9,5805 9,5755 18,8 18,8 180,1134 180,0194 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-16 9,6235 9,6185 18,76 18,76 180,53686 180,44306 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-17 9,6355 9,6305 18,85 18,85 181,629175 181,534925 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-18 9,6085 9,6035 18,84 18,84 181,02414 180,92994 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-21 9,5915 9,5865 18,9 18,9 181,27935 181,18485 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-22 9,5585 9,5535 18,78 18,78 179,50863 179,41473 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-23 9,5155 9,5105 18,76 18,76 178,51078 178,41698 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-24 9,5125 9,5075 18,8 18,8 178,835 178,741 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-25 9,4965 9,4915 18,62 18,62 176,82483 176,73173 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-28 9,4835 9,4785 18,81 18,81 178,384635 178,290585 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-29 9,4785 9,4735 18,72 18,72 177,43752 177,34392 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-11-30 9,5295 9,5245 18,71 18,71 178,296945 178,203395 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-01 9,5165 9,5115 18,63 18,63 177,292395 177,199245 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-02 9,4905 9,4855 18,76 18,76 178,04178 177,94798 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-05 9,4065 9,4015 18,83 18,83 177,124395 177,030245 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-06 9,4185 9,4135 18,82 18,82 177,25617 177,16207 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-07 9,4255 9,4205 18,82 18,82 177,38791 177,29381 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-08 9,3965 9,3915 18,88 18,88 177,40592 177,31152 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-12 9,4315 9,4265 18,79 18,79 177,217885 177,123935 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-13 9,4295 9,4245 18,74 18,74 176,70883 176,61513 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-14 9,4365 9,4315 18,8 18,8 177,4062 177,3122 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-15 9,4345 9,4295 18,89 18,89 178,217705 178,123255 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-16 9,4765 9,4715 19,12 19,12 181,19068 181,09508 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-19 9,4535 9,4485 19,2 19,2 181,5072 181,4112 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-20 9,4015 9,3965 19,2 19,2 180,5088 180,4128 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-21 9,4485 9,4435 19,27 19,27 182,072595 181,976245 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-22 9,4365 9,4315 19,15 19,15 180,708975 180,613225 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-23 9,4425 9,4375 19,13 19,13 180,635025 180,539375 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-27 9,4915 9,4865 19,24 19,24 182,61646 182,52026 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-28 9,4345 9,4295 19,2 19,2 181,1424 181,0464 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-29 9,4115 9,4065 19,17 19,17 180,418455 180,322605 665315 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) European Property EUR 2005-12-30 9,4325 9,4275 19,33 19,33 182,330225 182,233575 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-03 6,668 6,658 66,3 66,3 442,0884 441,4254 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-04 6,728 6,718 65,19 65,19 438,59832 437,94642 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-05 6,828 6,818 63,83 63,83 435,83124 435,19294 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-07 6,87 6,86 64,41 64,41 442,4967 441,8526 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-10 6,96091 6,95091 64,55 64,55 449,3267405 448,6812405 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-11 6,96091 6,95091 65,05 65,05 452,8071955 452,1566955 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-12 6,913 6,903 63,86 63,86 441,46418 440,82558 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-13 6,843 6,833 64,13 64,13 438,84159 438,20029 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-14 6,915 6,905 63 63 435,645 435,015 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-17 6,915 6,905 63,6 63,6 439,794 439,158 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-18 6,968 6,958 63,6 63,6 443,1648 442,5288 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-19 6,91 6,9 64,51 64,51 445,7641 445,119 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-20 6,96 6,95 63,66 63,66 443,0736 442,437 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-21 6,978 6,968 62,83 62,83 438,42774 437,79944 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-24 6,933 6,923 62,43 62,43 432,82719 432,20289 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-25 6,95 6,94 60,9 60,9 423,255 422,646 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-26 6,995 6,985 61,12 61,12 427,5344 426,9232 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-27 6,93 6,92 62,43 62,43 432,6399 432,0156 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-28 6,985 6,975 62,3 62,3 435,1655 434,5425 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-01-31 6,998 6,988 61,53 61,53 430,58694 429,97164 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-01 6,993 6,983 62,54 62,54 437,34222 436,71682 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-02 6,953 6,943 63,08 63,08 438,59524 437,96444 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-03 6,968 6,958 62,98 62,98 438,84464 438,21484 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-04 7,01 7 62,56 62,56 438,5456 437,92 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-07 7,065 7,055 63,97 63,97 451,94805 451,30835 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-08 7,123 7,113 63,95 63,95 455,51585 454,87635 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-09 7,1 7,09 63,43 63,43 450,353 449,7187 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-10 7,088 7,078 61,48 61,48 435,77024 435,15544 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-11 7,068 7,058 60,86 60,86 430,15848 429,54988 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-14 7,03 7,02 62,07 62,07 436,3521 435,7314 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-15 7,005 6,995 61,79 61,79 432,83895 432,22105 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-16 6,973 6,963 61,45 61,45 428,49085 427,87635 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-17 6,97 6,96 61,53 61,53 428,8641 428,2488 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-18 6,965 6,955 61,22 61,22 426,3973 425,7851 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-21 6,978 6,968 61,16 61,16 426,77448 426,16288 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-22 6,905 6,895 61,06 61,06 421,6193 421,0087 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-23 6,895 6,885 60,09 60,09 414,32055 413,71965 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-24 6,858 6,848 60,42 60,42 414,36036 413,75616 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-25 6,885 6,875 61,16 61,16 421,0866 420,475 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-02-28 6,828 6,818 61,97 61,97 423,13116 422,51146 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-01 6,87 6,86 58,79 58,79 403,8873 403,2994 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-02 6,888 6,878 59,05 59,05 406,7364 406,1459 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-03 6,903 6,893 59,09 59,09 407,89827 407,30737 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-04 6,9 6,89 58,34 58,34 402,546 401,9626 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-07 6,84 6,83 57,72 57,72 394,8048 394,2276 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-08 6,825 6,815 58,05 58,05 396,19125 395,61075 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-09 6,76 6,75 57,46 57,46 388,4296 387,855 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-10 6,745 6,735 57,11 57,11 385,20695 384,63585 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-11 6,765 6,755 57,05 57,05 385,94325 385,37275 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-14 6,76 6,75 56,74 56,74 383,5624 382,995 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-15 6,815 6,805 59,14 59,14 403,0391 402,4477 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-16 6,81 6,8 58,35 58,35 397,3635 396,78 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-17 6,795 6,785 57,77 57,77 392,54715 391,96945 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-18 6,828 6,818 57,81 57,81 394,72668 394,14858 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-21 6,908 6,898 58,19 58,19 401,97652 401,39462 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-22 6,928 6,918 58,16 58,16 402,93248 402,35088 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-23 6,973 6,963 57,99 57,99 404,36427 403,78437 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-24 7,008 6,998 58,19 58,19 407,79552 407,21362 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-29 7,055 7,045 57,37 57,37 404,74535 404,17165 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-30 7,053 7,043 56,21 56,21 396,44913 395,88703 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-03-31 7,065 7,055 57,19 57,19 404,04735 403,47545 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-01 7,07 7,06 56,7 56,7 400,869 400,302 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-04 7,113 7,103 55,79 55,79 396,83427 396,27637 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-05 7,163 7,153 55,35 55,35 396,47205 395,91855 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-06 7,125 7,115 56,1 56,1 399,7125 399,1515 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-07 7,083 7,073 57,07 57,07 404,22681 403,65611 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-08 7,153 7,143 58,23 58,23 416,51919 415,93689 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-11 7,098 7,088 57,49 57,49 408,06402 407,48912 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-12 7,048 7,038 57,34 57,34 404,13232 403,55892 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-13 7,075 7,065 57,96 57,96 410,067 409,4874 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-14 7,12 7,11 57,37 57,37 408,4744 407,9007 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-15 7,17 7,16 56,71 56,71 406,6107 406,0436 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-18 7,08 7,07 57,87 57,87 409,7196 409,1409 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-19 7,068 7,058 57,61 57,61 407,18748 406,61138 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-20 7,043 7,033 58,3 58,3 410,6069 410,0239 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-21 7,025 7,015 58,3 58,3 409,5575 408,9745 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-22 7,023 7,013 59,05 59,05 414,70815 414,11765 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-25 7,04 7,03 58,36 58,36 410,8544 410,2708 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-26 7,035 7,025 58,42 58,42 410,9847 410,4005 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-27 7,085 7,075 58,77 58,77 416,38545 415,79775 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-28 7,085 7,075 58,41 58,41 413,83485 413,25075 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-04-29 7,08 7,07 56,84 56,84 402,4272 401,8588 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-03 7,178 7,168 57,69 57,69 414,09882 413,52192 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-04 7,11 7,1 58,12 58,12 413,2332 412,652 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-06 7,085 7,075 59,88 59,88 424,2498 423,651 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-09 7,168 7,158 59,76 59,76 428,35968 427,76208 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-10 7,178 7,168 60,81 60,81 436,49418 435,88608 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-11 7,15 7,14 61,04 61,04 436,436 435,8256 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-12 7,243 7,233 61,2 61,2 443,2716 442,6596 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-13 7,265 7,255 61,06 61,06 443,6009 442,9903 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-17 7,313 7,303 60,75 60,75 444,26475 443,65725 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-18 7,3 7,29 60,52 60,52 441,796 441,1908 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-19 7,26 7,25 61,22 61,22 444,4572 443,845 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-20 7,28 7,27 61,2 61,2 445,536 444,924 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-23 7,32 7,31 61,04 61,04 446,8128 446,2024 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-24 7,295 7,285 61,69 61,69 450,02855 449,41165 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-25 7,298 7,288 61,74 61,74 450,57852 449,96112 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-26 7,33 7,32 61,16 61,16 448,3028 447,6912 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-27 7,338 7,328 61,94 61,94 454,51572 453,89632 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-05-30 7,338 7,328 62,1 62,1 455,6898 455,0688 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-01 7,428 7,418 61,46 61,46 456,52488 455,91028 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-02 7,473 7,463 62,08 62,08 463,92384 463,30304 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-03 7,438 7,428 62,16 62,16 462,34608 461,72448 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-07 7,448 7,438 60,63 60,63 451,57224 450,96594 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-08 7,435 7,425 60,09 60,09 446,76915 446,16825 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-09 7,523 7,513 59,74 59,74 449,42402 448,82662 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-10 7,525 7,515 60,46 60,46 454,9615 454,3569 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-13 7,643 7,633 60,32 60,32 461,02576 460,42256 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-14 7,663 7,653 60,67 60,67 464,91421 464,30751 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-15 7,693 7,683 60,6 60,6 466,1958 465,5898 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-16 7,678 7,668 60,78 60,78 466,66884 466,06104 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-17 7,643 7,633 62,82 62,82 480,13326 479,50506 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-20 7,543 7,533 63,71 63,71 480,56453 479,92743 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-21 7,648 7,638 64,06 64,06 489,93088 489,29028 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-22 7,608 7,598 63,38 63,38 482,19504 481,56124 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-27 7,73 7,72 62,66 62,66 484,3618 483,7352 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-28 7,76 7,75 62,39 62,39 484,1464 483,5225 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-29 7,833 7,823 63,61 63,61 498,25713 497,62103 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-06-30 7,823 7,813 63,72 63,72 498,48156 497,84436 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-01 7,858 7,848 63,63 63,63 500,00454 499,36824 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-04 7,945 7,935 64,1 64,1 509,2745 508,6335 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-06 7,895 7,885 65,17 65,17 514,51715 513,86545 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-07 7,878 7,868 64,81 64,81 510,57318 509,92508 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-08 7,913 7,903 65,54 65,54 518,61802 517,96262 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-11 7,89 7,88 67,73 67,73 534,3897 533,7124 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-12 7,77 7,76 68,17 68,17 529,6809 528,9992 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-13 7,703 7,693 68,12 68,12 524,72836 524,04716 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-14 7,76 7,75 68,08 68,08 528,3008 527,62 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-15 7,76 7,75 69,83 69,83 541,8808 541,1825 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-18 7,78 7,77 70,49 70,49 548,4122 547,7073 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-19 7,878 7,868 70,15 70,15 552,6417 551,9402 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-20 7,818 7,808 70,21 70,21 548,90178 548,19968 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-21 7,775 7,765 72,29 72,29 562,05475 561,33185 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-22 7,758 7,748 72,17 72,17 559,89486 559,17316 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-25 7,838 7,828 70,68 70,68 553,98984 553,28304 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-26 7,818 7,808 69,64 69,64 544,44552 543,74912 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-27 7,905 7,895 70,6 70,6 558,093 557,387 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-28 7,848 7,838 70,72 70,72 555,01056 554,30336 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-07-29 7,748 7,738 71,23 71,23 551,89004 551,17774 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-01 7,72 7,71 70,84 70,84 546,8848 546,1764 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-02 7,7 7,69 71,74 71,74 552,398 551,6806 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-03 7,685 7,675 72,08 72,08 553,9348 553,214 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-04 7,618 7,608 72,95 72,95 555,7331 555,0036 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-05 7,548 7,538 71,64 71,64 540,73872 540,02232 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-08 7,558 7,548 71,02 71,02 536,76916 536,05896 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-09 7,548 7,538 69,71 69,71 526,17108 525,47398 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-10 7,558 7,548 69,85 69,85 527,9263 527,2278 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-11 7,523 7,513 69,87 69,87 525,63201 524,93331 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-12 7,46 7,45 70,73 70,73 527,6458 526,9385 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-16 7,523 7,513 70,54 70,54 530,67242 529,96702 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-17 7,605 7,595 69,53 69,53 528,77565 528,08035 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-18 7,61 7,6 69,15 69,15 526,2315 525,54 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-19 7,698 7,688 69,57 69,57 535,54986 534,85416 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-22 7,69 7,68 69,94 69,94 537,8386 537,1392 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-23 7,663 7,653 70,12 70,12 537,32956 536,62836 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-24 7,673 7,663 70,43 70,43 540,40939 539,70509 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-25 7,588 7,578 70,05 70,05 531,5394 530,8389 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-26 7,578 7,568 70,73 70,73 535,99194 535,28464 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-29 7,573 7,563 70,25 70,25 532,00325 531,30075 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-30 7,633 7,623 71,39 71,39 544,91987 544,20597 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-08-31 7,668 7,658 70,84 70,84 543,20112 542,49272 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-01 7,568 7,558 72,4 72,4 547,9232 547,1992 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-02 7,435 7,425 73,34 73,34 545,2829 544,5495 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-05 7,41 7,4 72,7 72,7 538,707 537,98 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-06 7,485 7,475 72,7 72,7 544,1595 543,4325 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-07 7,43 7,42 74,23 74,23 551,5289 550,7866 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-08 7,498 7,488 74,34 74,34 557,40132 556,65792 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-09 7,523 7,513 73,8 73,8 555,1974 554,4594 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-12 7,555 7,545 74,26 74,26 561,0343 560,2917 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-13 7,57 7,56 74,38 74,38 563,0566 562,3128 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-14 7,61 7,6 73,99 73,99 563,0639 562,324 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-15 7,658 7,648 73,32 73,32 561,48456 560,75136 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-16 7,613 7,603 73,44 73,44 559,09872 558,36432 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-19 7,698 7,688 73,6 73,6 566,5728 565,8368 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-20 7,688 7,678 73,26 73,26 563,22288 562,49028 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-21 7,663 7,653 73,55 73,55 563,61365 562,87815 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-22 7,648 7,638 72,29 72,29 552,87392 552,15102 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-23 7,733 7,723 72,17 72,17 558,09061 557,36891 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-26 7,798 7,788 72,2 72,2 563,0156 562,2936 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-27 7,825 7,815 72,57 72,57 567,86025 567,13455 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-28 7,81 7,8 72,34 72,34 564,9754 564,252 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-29 7,785 7,775 72,62 72,62 565,3467 564,6205 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-09-30 7,785 7,775 72,81 72,81 566,82585 566,09775 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-03 7,783 7,773 73,56 73,56 572,51748 571,78188 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-04 7,82 7,81 74,74 74,74 584,4668 583,7194 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-05 7,795 7,785 75,22 75,22 586,3399 585,5877 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-06 7,713 7,703 72,28 72,28 557,49564 556,77284 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-07 7,683 7,673 70,49 70,49 541,57467 540,86977 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-10 7,698 7,688 70,67 70,67 544,01766 543,31096 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-11 7,77 7,76 70,73 70,73 549,5721 548,8648 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-12 7,805 7,795 69,42 69,42 541,8231 541,1289 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-13 7,83 7,82 67,8 67,8 530,874 530,196 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-14 7,833 7,823 68,88 68,88 539,53704 538,84824 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-17 7,835 7,825 70,46 70,46 552,0541 551,3495 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-18 7,893 7,883 70,43 70,43 555,90399 555,19969 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-19 7,96 7,95 70,08 70,08 557,8368 557,136 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-20 7,93 7,92 70,74 70,74 560,9682 560,2608 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-21 7,883 7,873 69,86 69,86 550,70638 550,00778 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-24 7,995 7,985 69,78 69,78 557,8911 557,1933 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-25 7,99 7,98 71,39 71,39 570,4061 569,6922 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-26 7,868 7,858 71,9 71,9 565,7092 564,9902 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-27 7,868 7,858 71,47 71,47 562,32596 561,61126 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-28 7,825 7,815 69,88 69,88 546,811 546,1122 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-10-31 7,905 7,895 70,15 70,15 554,53575 553,83425 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-02 7,98 7,97 71,22 71,22 568,3356 567,6234 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-03 8,01 8 71,77 71,77 574,8777 574,16 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-04 8,028 8,018 72,93 72,93 585,48204 584,75274 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-07 8,135 8,125 73,35 73,35 596,70225 595,96875 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-08 8,17 8,16 73,03 73,03 596,6551 595,9248 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-09 8,12 8,11 73,05 73,05 593,166 592,4355 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-10 8,173 8,163 73,32 73,32 599,24436 598,51116 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-11 8,235 8,225 74,06 74,06 609,8841 609,1435 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-14 8,133 8,123 74,17 74,17 603,22461 602,48291 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-15 8,185 8,175 73,91 73,91 604,95335 604,21425 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-16 8,21 8,2 74,23 74,23 609,4283 608,686 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-17 8,258 8,248 74,32 74,32 613,73456 612,99136 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-18 8,223 8,213 75,21 75,21 618,45183 617,69973 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-21 8,123 8,113 75,72 75,72 615,07356 614,31636 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-22 8,15 8,14 76,56 76,56 623,964 623,1984 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-23 8,048 8,038 77,16 77,16 620,98368 620,21208 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-24 8,053 8,043 76,94 76,94 619,59782 618,82842 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-25 8,078 8,068 76,94 76,94 621,52132 620,75192 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-28 8,118 8,108 76,95 76,95 624,6801 623,9106 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-29 8,015 8,005 75,57 75,57 605,69355 604,93785 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-11-30 8,088 8,078 74,89 74,89 605,71032 604,96142 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-12-01 8,083 8,073 75,34 75,34 608,97322 608,21982 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-12-02 8,103 8,093 75,05 75,05 608,13015 607,37965 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-12-05 8,045 8,035 74,53 74,53 599,59385 598,84855 271189 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Biotech USD 2005-12-06 7,993 7,983 74,69 74,69 596,99717 596,25027 271189 Credit Suisse Asset 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Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-01-19 6,91 6,9 62,39 62,39 431,1149 430,491 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-01-20 6,96 6,95 61,97 61,97 431,3112 430,6915 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-01-21 6,978 6,968 61,73 61,73 430,75194 430,13464 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-01-24 6,933 6,923 61,65 61,65 427,41945 426,80295 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-01-25 6,95 6,94 61,51 61,51 427,4945 426,8794 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-01-26 6,995 6,985 61,59 61,59 430,82205 430,20615 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-01-27 6,93 6,92 61,7 61,7 427,581 426,964 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-01-28 6,985 6,975 61,42 61,42 429,0187 428,4045 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-01-31 6,998 6,988 61,23 61,23 428,48754 427,87524 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-01 6,993 6,983 61,61 61,61 430,83873 430,22263 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-02 6,953 6,943 61,52 61,52 427,74856 427,13336 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-03 6,968 6,958 61,85 61,85 430,9708 430,3523 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-04 7,01 7 61,57 61,57 431,6057 430,99 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-07 7,065 7,055 61,89 61,89 437,25285 436,63395 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-08 7,123 7,113 62 62 441,626 441,006 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-09 7,1 7,09 61,8 61,8 438,78 438,162 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-10 7,088 7,078 61,64 61,64 436,90432 436,28792 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-11 7,068 7,058 61,83 61,83 437,01444 436,39614 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-14 7,03 7,02 62,08 62,08 436,4224 435,8016 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-15 7,005 6,995 61,93 61,93 433,81965 433,20035 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-16 6,973 6,963 62,4 62,4 435,1152 434,4912 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-17 6,97 6,96 62,33 62,33 434,4401 433,8168 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-18 6,965 6,955 62,51 62,51 435,38215 434,75705 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-21 6,978 6,968 62,24 62,24 434,31072 433,68832 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-22 6,905 6,895 62,08 62,08 428,6624 428,0416 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-23 6,895 6,885 61,43 61,43 423,55985 422,94555 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-24 6,858 6,848 61,64 61,64 422,72712 422,11072 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-25 6,885 6,875 61,37 61,37 422,53245 421,91875 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-02-28 6,828 6,818 61,47 61,47 419,71716 419,10246 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-01 6,87 6,86 61,36 61,36 421,5432 420,9296 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-02 6,888 6,878 61,96 61,96 426,78048 426,16088 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-03 6,903 6,893 62,07 62,07 428,46921 427,84851 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-04 6,9 6,89 62,05 62,05 428,145 427,5245 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-07 6,84 6,83 62,51 62,51 427,5684 426,9433 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-08 6,825 6,815 62,72 62,72 428,064 427,4368 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-09 6,76 6,75 62,55 62,55 422,838 422,2125 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-10 6,745 6,735 61,95 61,95 417,85275 417,23325 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-11 6,765 6,755 61,85 61,85 418,41525 417,79675 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-14 6,76 6,75 61,65 61,65 416,754 416,1375 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-15 6,815 6,805 61,89 61,89 421,78035 421,16145 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-16 6,81 6,8 62,19 62,19 423,5139 422,892 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-17 6,795 6,785 62,22 62,22 422,7849 422,1627 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-18 6,828 6,818 62,61 62,61 427,50108 426,87498 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-21 6,908 6,898 62,67 62,67 432,92436 432,29766 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-22 6,928 6,918 62,39 62,39 432,23792 431,61402 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-23 6,973 6,963 61,75 61,75 430,58275 429,96525 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-24 7,008 6,998 61,26 61,26 429,31008 428,69748 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-29 7,055 7,045 61,37 61,37 432,96535 432,35165 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-30 7,053 7,043 61,05 61,05 430,58565 429,97515 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-03-31 7,065 7,055 61,63 61,63 435,41595 434,79965 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-01 7,07 7,06 61,69 61,69 436,1483 435,5314 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-04 7,113 7,103 61,41 61,41 436,80933 436,19523 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-05 7,163 7,153 61,04 61,04 437,22952 436,61912 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-06 7,125 7,115 61,23 61,23 436,26375 435,65145 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-07 7,083 7,073 60,98 60,98 431,92134 431,31154 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-08 7,153 7,143 61,58 61,58 440,48174 439,86594 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-11 7,098 7,088 61,38 61,38 435,67524 435,06144 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-12 7,048 7,038 61,43 61,43 432,95864 432,34434 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-13 7,075 7,065 61,43 61,43 434,61725 434,00295 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-14 7,12 7,11 61,14 61,14 435,3168 434,7054 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-15 7,17 7,16 60,65 60,65 434,8605 434,254 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-18 7,08 7,07 59,82 59,82 423,5256 422,9274 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-19 7,068 7,058 59,43 59,43 420,05124 419,45694 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-20 7,043 7,033 59,54 59,54 419,34022 418,74482 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-21 7,025 7,015 59,1 59,1 415,1775 414,5865 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-22 7,023 7,013 60,3 60,3 423,4869 422,8839 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-25 7,04 7,03 59,78 59,78 420,8512 420,2534 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-26 7,035 7,025 59,93 59,93 421,60755 421,00825 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-27 7,085 7,075 59,5 59,5 421,5575 420,9625 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-28 7,085 7,075 59,3 59,3 420,1405 419,5475 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-04-29 7,08 7,07 58,56 58,56 414,6048 414,0192 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-03 7,178 7,168 58,91 58,91 422,85598 422,26688 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-04 7,11 7,1 58,85 58,85 418,4235 417,835 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-06 7,085 7,075 59,59 59,59 422,19515 421,59925 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-09 7,168 7,158 59,6 59,6 427,2128 426,6168 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-10 7,178 7,168 59,73 59,73 428,74194 428,14464 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-11 7,15 7,14 59,26 59,26 423,709 423,1164 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-12 7,243 7,233 58,72 58,72 425,30896 424,72176 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-13 7,265 7,255 58,82 58,82 427,3273 426,7391 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-17 7,313 7,303 58,65 58,65 428,90745 428,32095 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-18 7,3 7,29 58,84 58,84 429,532 428,9436 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-19 7,26 7,25 59,02 59,02 428,4852 427,895 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-20 7,28 7,27 59,5 59,5 433,16 432,565 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-23 7,32 7,31 59,3 59,3 434,076 433,483 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-24 7,295 7,285 59,5 59,5 434,0525 433,4575 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-25 7,298 7,288 59,68 59,68 435,54464 434,94784 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-26 7,33 7,32 59,44 59,44 435,6952 435,1008 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-27 7,338 7,328 59,55 59,55 436,9779 436,3824 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-05-30 7,338 7,328 59,52 59,52 436,75776 436,16256 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-01 7,428 7,418 59,08 59,08 438,84624 438,25544 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-02 7,473 7,463 59,12 59,12 441,80376 441,21256 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-03 7,438 7,428 59,12 59,12 439,73456 439,14336 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-07 7,448 7,438 58,8 58,8 437,9424 437,3544 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-08 7,435 7,425 59,05 59,05 439,03675 438,44625 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-09 7,523 7,513 59,03 59,03 444,08269 443,49239 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-10 7,525 7,515 58,93 58,93 443,44825 442,85895 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-13 7,643 7,633 58,85 58,85 449,79055 449,20205 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-14 7,663 7,653 59,03 59,03 452,34689 451,75659 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-15 7,693 7,683 59,08 59,08 454,50244 453,91164 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-16 7,678 7,668 58,94 58,94 452,54132 451,95192 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-17 7,643 7,633 59,03 59,03 451,16629 450,57599 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-20 7,543 7,533 59,18 59,18 446,39474 445,80294 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-21 7,648 7,638 59,25 59,25 453,144 452,5515 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-22 7,608 7,598 59,47 59,47 452,44776 451,85306 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-27 7,73 7,72 58,83 58,83 454,7559 454,1676 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-28 7,76 7,75 58,35 58,35 452,796 452,2125 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-29 7,833 7,823 58,61 58,61 459,09213 458,50603 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-06-30 7,823 7,813 58,25 58,25 455,68975 455,10725 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-01 7,858 7,848 57,91 57,91 455,05678 454,47768 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-04 7,945 7,935 57,83 57,83 459,45935 458,88105 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-05 7,963 7,953 57,83 57,83 460,50029 459,92199 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-06 7,895 7,885 57,71 57,71 455,62045 455,04335 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-07 7,878 7,868 57,65 57,65 454,1667 453,5902 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-08 7,913 7,903 57,18 57,18 452,46534 451,89354 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-11 7,89 7,88 57,92 57,92 456,9888 456,4096 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-12 7,77 7,76 58,34 58,34 453,3018 452,7184 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-13 7,703 7,693 58,58 58,58 451,24174 450,65594 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-14 7,76 7,75 58,46 58,46 453,6496 453,065 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-15 7,76 7,75 58,75 58,75 455,9 455,3125 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-18 7,78 7,77 58,54 58,54 455,4412 454,8558 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-19 7,878 7,868 58,17 58,17 458,26326 457,68156 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-20 7,818 7,808 58,08 58,08 454,06944 453,48864 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-21 7,775 7,765 58,14 58,14 452,0385 451,4571 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-22 7,758 7,748 58,23 58,23 451,74834 451,16604 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-25 7,838 7,828 58,47 58,47 458,28786 457,70316 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-26 7,818 7,808 58,31 58,31 455,86758 455,28448 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-27 7,905 7,895 58,62 58,62 463,3911 462,8049 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-28 7,848 7,838 58,85 58,85 461,8548 461,2663 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-07-29 7,748 7,738 59,12 59,12 458,06176 457,47056 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-01 7,72 7,71 58,85 58,85 454,322 453,7335 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-02 7,7 7,69 59,01 59,01 454,377 453,7869 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-03 7,685 7,675 59,45 59,45 456,87325 456,27875 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-04 7,618 7,608 59,52 59,52 453,42336 452,82816 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-05 7,548 7,538 59,73 59,73 450,84204 450,24474 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-08 7,558 7,548 59,72 59,72 451,36376 450,76656 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-09 7,548 7,538 59,69 59,69 450,54012 449,94322 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-10 7,558 7,548 60,19 60,19 454,91602 454,31412 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-11 7,523 7,513 60,3 60,3 453,6369 453,0339 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-12 7,46 7,45 60,6 60,6 452,076 451,47 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-16 7,523 7,513 60,71 60,71 456,72133 456,11423 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-17 7,605 7,595 60,43 60,43 459,57015 458,96585 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-18 7,61 7,6 60,38 60,38 459,4918 458,888 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-19 7,698 7,688 59,92 59,92 461,26416 460,66496 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-22 7,69 7,68 59,87 59,87 460,4003 459,8016 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-23 7,663 7,653 59,91 59,91 459,09033 458,49123 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-24 7,673 7,663 59,75 59,75 458,46175 457,86425 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-25 7,588 7,578 59,34 59,34 450,27192 449,67852 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-26 7,578 7,568 59,27 59,27 449,14806 448,55536 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-29 7,573 7,563 59,21 59,21 448,39733 447,80523 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-30 7,633 7,623 59,28 59,28 452,48424 451,89144 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-08-31 7,668 7,658 59,03 59,03 452,64204 452,05174 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-01 7,568 7,558 59,4 59,4 449,5392 448,9452 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-02 7,435 7,425 59,65 59,65 443,49775 442,90125 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-05 7,41 7,4 59,6 59,6 441,636 441,04 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-06 7,485 7,475 59,6 59,6 446,106 445,51 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-07 7,43 7,42 60,22 60,22 447,4346 446,8324 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-08 7,498 7,488 60,36 60,36 452,57928 451,97568 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-09 7,523 7,513 60 60 451,38 450,78 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-12 7,555 7,545 60,23 60,23 455,03765 454,43535 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-13 7,57 7,56 60,28 60,28 456,3196 455,7168 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-14 7,61 7,6 59,95 59,95 456,2195 455,62 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-15 7,658 7,648 59,72 59,72 457,33576 456,73856 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-16 7,613 7,603 59,53 59,53 453,20189 452,60659 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-19 7,698 7,688 59,72 59,72 459,72456 459,12736 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-20 7,688 7,678 59,23 59,23 455,36024 454,76794 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-21 7,663 7,653 59,01 59,01 452,19363 451,60353 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-22 7,648 7,638 58,4 58,4 446,6432 446,0592 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-23 7,733 7,723 58,22 58,22 450,21526 449,63306 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-26 7,798 7,788 58,07 58,07 452,82986 452,24916 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-27 7,825 7,815 58,19 58,19 455,33675 454,75485 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-28 7,81 7,8 58,09 58,09 453,6829 453,102 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-29 7,785 7,775 58,05 58,05 451,91925 451,33875 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-09-30 7,785 7,775 58,26 58,26 453,5541 452,9715 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-03 7,783 7,773 58,72 58,72 457,01776 456,43056 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-04 7,82 7,81 58,44 58,44 457,0008 456,4164 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-05 7,795 7,785 58,44 58,44 455,5398 454,9554 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-06 7,713 7,703 57,76 57,76 445,50288 444,92528 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-07 7,683 7,673 57,67 57,67 443,07861 442,50191 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-10 7,698 7,688 57,42 57,42 442,01916 441,44496 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-11 7,77 7,76 57,32 57,32 445,3764 444,8032 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-12 7,805 7,795 56,88 56,88 443,9484 443,3796 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-13 7,83 7,82 56,27 56,27 440,5941 440,0314 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-14 7,833 7,823 56,05 56,05 439,03965 438,47915 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-17 7,835 7,825 56,59 56,59 443,38265 442,81675 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-18 7,893 7,883 56,39 56,39 445,08627 444,52237 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-19 7,96 7,95 55,74 55,74 443,6904 443,133 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-20 7,93 7,92 55,79 55,79 442,4147 441,8568 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-21 7,883 7,873 55,36 55,36 436,40288 435,84928 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-24 7,995 7,985 55,41 55,41 443,00295 442,44885 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-25 7,99 7,98 56,17 56,17 448,7983 448,2366 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-26 7,868 7,858 56,28 56,28 442,81104 442,24824 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-27 7,868 7,858 56,12 56,12 441,55216 440,99096 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-28 7,825 7,815 55,55 55,55 434,67875 434,12325 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-10-31 7,905 7,895 55,99 55,99 442,60095 442,04105 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-02 7,98 7,97 56,67 56,67 452,2266 451,6599 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-03 8,01 8 57,39 57,39 459,6939 459,12 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-04 8,028 8,018 57,37 57,37 460,56636 459,99266 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-07 8,135 8,125 57,03 57,03 463,93905 463,36875 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-08 8,17 8,16 57,16 57,16 466,9972 466,4256 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-09 8,12 8,11 57 57 462,84 462,27 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-10 8,173 8,163 56,9 56,9 465,0437 464,4747 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-11 8,235 8,225 57,28 57,28 471,7008 471,128 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-14 8,133 8,123 57,55 57,55 468,05415 467,47865 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-15 8,185 8,175 57,33 57,33 469,24605 468,67275 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-16 8,21 8,2 56,91 56,91 467,2311 466,662 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-17 8,258 8,248 56,65 56,65 467,8157 467,2492 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-18 8,223 8,213 56,98 56,98 468,54654 467,97674 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-21 8,123 8,113 56,97 56,97 462,76731 462,19761 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-22 8,15 8,14 57,11 57,11 465,4465 464,8754 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-23 8,048 8,038 57,21 57,21 460,42608 459,85398 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-24 8,053 8,043 57,43 57,43 462,48379 461,90949 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-25 8,078 8,068 57,43 57,43 463,91954 463,34524 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-28 8,118 8,108 57,51 57,51 466,86618 466,29108 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-29 8,015 8,005 57,32 57,32 459,4198 458,8466 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-11-30 8,088 8,078 57,07 57,07 461,58216 461,01146 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-01 8,083 8,073 56,93 56,93 460,16519 459,59589 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-02 8,103 8,093 57,35 57,35 464,70705 464,13355 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-05 8,045 8,035 57,53 57,53 462,82885 462,25355 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-06 7,993 7,983 57,28 57,28 457,83904 457,26624 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-07 8,015 8,005 57,48 57,48 460,7022 460,1274 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-08 7,988 7,978 57,57 57,57 459,86916 459,29346 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-12 7,953 7,943 57,7 57,7 458,8881 458,3111 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-13 7,905 7,895 58,23 58,23 460,30815 459,72585 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-14 7,848 7,838 58,36 58,36 458,00928 457,42568 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-15 7,858 7,848 58,46 58,46 459,37868 458,79408 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-16 7,903 7,893 58,18 58,18 459,79654 459,21474 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-19 7,865 7,855 58,59 58,59 460,81035 460,22445 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-20 7,848 7,838 58,25 58,25 457,146 456,5635 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-21 7,948 7,938 57,88 57,88 460,03024 459,45144 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-22 7,98 7,97 57,65 57,65 460,047 459,4705 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-23 7,955 7,945 57,89 57,89 460,51495 459,93605 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-27 8,01 8 57,91 57,91 463,8591 463,28 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-28 7,915 7,905 57,66 57,66 456,3789 455,8023 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-29 7,938 7,928 57,69 57,69 457,94322 457,36632 199521 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Media USD 2005-12-30 7,958 7,948 57,64 57,64 458,69912 458,12272 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-03 6,668 6,658 173,76 173,76 1158,63168 1156,89408 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-04 6,728 6,718 171,7 171,7 1155,1976 1153,4806 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-05 6,828 6,818 167,77 167,77 1145,53356 1143,85586 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse 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Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-17 6,915 6,905 169,71 169,71 1173,54465 1171,84755 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-18 6,968 6,958 170,86 170,86 1190,55248 1188,84388 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-19 6,91 6,9 170,8 170,8 1180,228 1178,52 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-20 6,96 6,95 170,5 170,5 1186,68 1184,975 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-21 6,978 6,968 168,73 168,73 1177,39794 1175,71064 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-24 6,933 6,923 169,68 169,68 1176,39144 1174,69464 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-25 6,95 6,94 171,06 171,06 1188,867 1187,1564 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-26 6,995 6,985 169,92 169,92 1188,5904 1186,8912 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-27 6,93 6,92 171,38 171,38 1187,6634 1185,9496 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-28 6,985 6,975 172,08 172,08 1201,9788 1200,258 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-01-31 6,998 6,988 170,49 170,49 1193,08902 1191,38412 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-02-01 6,993 6,983 171,75 171,75 1201,04775 1199,33025 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-02-02 6,953 6,943 174,47 174,47 1213,08991 1211,34521 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-02-03 6,968 6,958 175,85 175,85 1225,3228 1223,5643 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-02-04 7,01 7 174,69 174,69 1224,5769 1222,83 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-02-07 7,065 7,055 175,4 175,4 1239,201 1237,447 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-02-08 7,123 7,113 175,73 175,73 1251,72479 1249,96749 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-02-09 7,1 7,09 174,67 174,67 1240,157 1238,4103 163691 Credit Suisse Asset Management Fund Service (Lux) Credit 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Credit Suisse Equity Fund (Lux) Global Resources USD 2005-04-05 7,163 7,153 182,35 182,35 1306,17305 1304,34955 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-04-06 7,125 7,115 181,93 181,93 1296,25125 1294,43195 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-04-07 7,083 7,073 183,34 183,34 1298,59722 1296,76382 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-04-08 7,153 7,143 185,56 185,56 1327,31068 1325,45508 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-04-11 7,098 7,088 184,65 184,65 1310,6457 1308,7992 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-04-12 7,048 7,038 184,42 184,42 1299,79216 1297,94796 163691 Credit Suisse Asset Management Fund 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Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-05-30 7,338 7,328 171,71 171,71 1260,00798 1258,29088 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-06-01 7,428 7,418 170,73 170,73 1268,18244 1266,47514 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-06-02 7,473 7,463 173,27 173,27 1294,84671 1293,11401 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-06-03 7,438 7,428 173,94 173,94 1293,76572 1292,02632 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-06-07 7,448 7,438 174,23 174,23 1297,66504 1295,92274 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-06-08 7,435 7,425 174,33 174,33 1296,14355 1294,40025 163691 Credit Suisse 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1453,62792 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-08-10 7,558 7,548 194,22 194,22 1467,91476 1465,97256 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-08-11 7,523 7,513 196,11 196,11 1475,33553 1473,37443 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-08-12 7,46 7,45 198,27 198,27 1479,0942 1477,1115 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-08-16 7,523 7,513 197,18 197,18 1483,38514 1481,41334 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-08-17 7,605 7,595 194,38 194,38 1478,2599 1476,3161 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-08-18 7,61 7,6 192,37 192,37 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190,06 1440,27468 1438,37408 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-08-29 7,573 7,563 189,37 189,37 1434,09901 1432,20531 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-08-30 7,633 7,623 189,02 189,02 1442,78966 1440,89946 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-08-31 7,668 7,658 188,74 188,74 1447,25832 1445,37092 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-09-01 7,568 7,558 191,63 191,63 1450,25584 1448,33954 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-09-02 7,435 7,425 196,37 196,37 1460,01095 1458,04725 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-09-05 7,41 7,4 196,74 196,74 1457,8434 1455,876 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-09-06 7,485 7,475 196,14 196,14 1468,1079 1466,1465 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-09-07 7,43 7,42 197,18 197,18 1465,0474 1463,0756 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-09-08 7,498 7,488 197,21 197,21 1478,68058 1476,70848 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-09-09 7,523 7,513 196,64 196,64 1479,32272 1477,35632 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-09-12 7,555 7,545 199,28 199,28 1505,5604 1503,5676 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-09-13 7,57 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2005-09-29 7,785 7,775 203,39 203,39 1583,39115 1581,35725 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-09-30 7,785 7,775 204,59 204,59 1592,73315 1590,68725 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-10-03 7,783 7,773 205,05 205,05 1595,90415 1593,85365 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-10-04 7,82 7,81 202,86 202,86 1586,3652 1584,3366 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-10-05 7,795 7,785 200,8 200,8 1565,236 1563,228 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-10-06 7,713 7,703 195,41 195,41 1507,19733 1505,24323 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources 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Resources USD 2005-10-25 7,99 7,98 189,01 189,01 1510,1899 1508,2998 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-10-26 7,868 7,858 190,45 190,45 1498,4606 1496,5561 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-10-27 7,868 7,858 192,09 192,09 1511,36412 1509,44322 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-10-28 7,825 7,815 189,93 189,93 1486,20225 1484,30295 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-10-31 7,905 7,895 190,67 190,67 1507,24635 1505,33965 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-02 7,98 7,97 194,34 194,34 1550,8332 1548,8898 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-03 8,01 8 196,63 196,63 1575,0063 1573,04 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-04 8,028 8,018 199,53 199,53 1601,82684 1599,83154 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-07 8,135 8,125 196,03 196,03 1594,70405 1592,74375 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-08 8,17 8,16 195,58 195,58 1597,8886 1595,9328 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-09 8,12 8,11 195,44 195,44 1586,9728 1585,0184 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-10 8,173 8,163 195,1 195,1 1594,5523 1592,6013 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-11 8,235 8,225 193,96 193,96 1597,2606 1595,321 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-14 8,133 8,123 196,05 196,05 1594,47465 1592,51415 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-15 8,185 8,175 197 197 1612,445 1610,475 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-16 8,21 8,2 197,32 197,32 1619,9972 1618,024 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-17 8,258 8,248 197,37 197,37 1629,88146 1627,90776 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-18 8,223 8,213 199,7 199,7 1642,1331 1640,1361 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-21 8,123 8,113 200,34 200,34 1627,36182 1625,35842 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-22 8,15 8,14 202,97 202,97 1654,2055 1652,1758 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-23 8,048 8,038 203,16 203,16 1635,03168 1633,00008 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-24 8,053 8,043 203,83 203,83 1641,44299 1639,40469 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-25 8,078 8,068 204,21 204,21 1649,60838 1647,56628 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-28 8,118 8,108 204,72 204,72 1661,91696 1659,86976 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-29 8,015 8,005 202,55 202,55 1623,43825 1621,41275 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-11-30 8,088 8,078 203,99 203,99 1649,87112 1647,83122 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-01 8,083 8,073 203,07 203,07 1641,41481 1639,38411 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-02 8,103 8,093 207,21 207,21 1679,02263 1676,95053 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-05 8,045 8,035 209,59 209,59 1686,15155 1684,05565 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-06 7,993 7,983 210,06 210,06 1679,00958 1676,90898 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-07 8,015 8,005 212,25 212,25 1701,18375 1699,06125 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-08 7,988 7,978 211,68 211,68 1690,89984 1688,78304 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-12 7,953 7,943 212,05 212,05 1686,43365 1684,31315 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-13 7,905 7,895 213,47 213,47 1687,48035 1685,34565 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-14 7,848 7,838 214,05 214,05 1679,8644 1677,7239 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-15 7,858 7,848 213,78 213,78 1679,88324 1677,74544 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-16 7,903 7,893 212,22 212,22 1677,17466 1675,05246 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-19 7,865 7,855 212,58 212,58 1671,9417 1669,8159 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-20 7,848 7,838 211,79 211,79 1662,12792 1660,01002 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-21 7,948 7,938 211,79 211,79 1683,30692 1681,18902 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-22 7,98 7,97 213,92 213,92 1707,0816 1704,9424 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-23 7,955 7,945 214,27 214,27 1704,51785 1702,37515 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-27 8,01 8 214,94 214,94 1721,6694 1719,52 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-28 7,915 7,905 213,67 213,67 1691,19805 1689,06135 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-29 7,938 7,928 215,37 215,37 1709,60706 1707,45336 163691 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Resources USD 2005-12-30 7,958 7,948 215,7 215,7 1716,5406 1714,3836 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-03 9,0065 9,0015 138,95 138,95 1251,453175 1250,758425 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-04 9,0345 9,0295 139,49 139,49 1260,222405 1259,524955 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-05 9,0615 9,0565 139,74 139,74 1266,25401 1265,55531 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-07 9,0615 9,0565 140,13 140,13 1269,787995 1269,087345 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-10 9,08619 9,08119 141,2 141,2 1282,970028 1282,264028 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-11 9,08619 9,08119 140,97 140,97 1280,8802043 1280,1753543 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-12 9,0455 9,0405 139,98 139,98 1266,18909 1265,48919 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-13 9,0505 9,0455 139,02 139,02 1258,20051 1257,50541 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-14 9,0455 9,0405 138,92 138,92 1256,60086 1255,90626 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-17 9,0685 9,0635 140,1 140,1 1270,49685 1269,79635 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-18 9,0585 9,0535 140,53 140,53 1272,991005 1272,288355 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-19 9,0225 9,0175 140,99 140,99 1272,082275 1271,377325 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-20 9,0315 9,0265 140,53 140,53 1269,196695 1268,494045 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-21 9,0505 9,0455 140,1 140,1 1267,97505 1267,27455 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-24 9,0655 9,0605 139,29 139,29 1262,733495 1262,037045 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-25 9,0715 9,0665 139,03 139,03 1261,210645 1260,515495 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-26 9,0885 9,0835 140,1 140,1 1273,29885 1272,59835 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-27 9,0675 9,0625 140,04 140,04 1269,8127 1269,1125 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-28 9,0955 9,0905 140,64 140,64 1279,19112 1278,48792 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-01-31 9,1075 9,1025 140,19 140,19 1276,780425 1276,079475 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-01 9,1035 9,0985 141,56 141,56 1288,69146 1287,98366 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-02 9,0905 9,0855 142,64 142,64 1296,66892 1295,95572 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-03 9,0695 9,0645 142,94 142,94 1296,39433 1295,67963 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-04 9,0895 9,0845 142,92 142,92 1299,07134 1298,35674 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-07 9,0755 9,0705 144,18 144,18 1308,50559 1307,78469 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-08 9,0895 9,0845 144,46 144,46 1313,06917 1312,34687 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-09 9,0695 9,0645 145,4 145,4 1318,7053 1317,9783 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-10 9,0805 9,0755 144,99 144,99 1316,581695 1315,856745 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-11 9,0935 9,0885 144,84 144,84 1317,10254 1316,37834 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-14 9,1105 9,1055 145,83 145,83 1328,584215 1327,855065 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-15 9,0765 9,0715 145,65 145,65 1321,992225 1321,263975 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-16 9,0705 9,0655 146,18 146,18 1325,92569 1325,19479 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-17 9,0925 9,0875 145,49 145,49 1322,867825 1322,140375 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-18 9,0945 9,0895 144,51 144,51 1314,246195 1313,523645 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-21 9,1185 9,1135 145,04 145,04 1322,54724 1321,82204 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-22 9,0975 9,0925 145,25 145,25 1321,411875 1320,685625 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-23 9,1045 9,0995 143,41 143,41 1305,676345 1304,959295 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-24 9,0715 9,0665 142,98 142,98 1297,04307 1296,32817 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-25 9,0845 9,0795 143,12 143,12 1300,17364 1299,45804 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-02-28 9,0505 9,0455 144,46 144,46 1307,43523 1306,71293 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-01 9,0565 9,0515 143,41 143,41 1298,792665 1298,075615 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-02 9,0645 9,0595 144,91 144,91 1313,536695 1312,812145 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-03 9,0675 9,0625 145,44 145,44 1318,7772 1318,05 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-04 9,0415 9,0365 145,09 145,09 1311,831235 1311,105785 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-07 9,0425 9,0375 145,62 145,62 1316,76885 1316,04075 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-08 9,0345 9,0295 145,79 145,79 1317,139755 1316,410805 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-09 9,0365 9,0315 144,58 144,58 1306,49717 1305,77427 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-10 9,0655 9,0605 143,82 143,82 1303,80021 1303,08111 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-11 9,0795 9,0745 143,07 143,07 1299,004065 1298,288715 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-14 9,0695 9,0645 142,5 142,5 1292,40375 1291,69125 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-15 9,1035 9,0985 143 143 1301,8005 1301,0855 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-16 9,0975 9,0925 143,72 143,72 1307,4927 1306,7741 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-17 9,1045 9,0995 141,81 141,81 1291,109145 1290,400095 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-18 9,1035 9,0985 141,77 141,77 1290,603195 1289,894345 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-21 9,1265 9,1215 142,5 142,5 1300,52625 1299,81375 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-22 9,1265 9,1215 142,63 142,63 1301,712695 1300,999545 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-23 9,1165 9,1115 142,17 142,17 1296,092805 1295,381955 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-24 9,1135 9,1085 142,7 142,7 1300,49645 1299,78295 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-29 9,1315 9,1265 144,14 144,14 1316,21441 1315,49371 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-30 9,1425 9,1375 143,2 143,2 1309,206 1308,49 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-03-31 9,1405 9,1355 143,34 143,34 1310,19927 1309,48257 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-01 9,1645 9,1595 143,13 143,13 1311,714885 1310,999235 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-04 9,1695 9,1645 143,16 143,16 1312,70562 1311,98982 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-05 9,1745 9,1695 143,31 143,31 1314,797595 1314,081045 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-06 9,1705 9,1655 144,48 144,48 1324,95384 1324,23144 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-07 9,1505 9,1455 144,55 144,55 1322,704775 1321,982025 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-08 9,1625 9,1575 145,03 145,03 1328,837375 1328,112225 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-11 9,1705 9,1655 145,21 145,21 1331,648305 1330,922255 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-12 9,1525 9,1475 144,38 144,38 1321,43795 1320,71605 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-13 9,1495 9,1445 144,62 144,62 1323,20069 1322,47759 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-14 9,1685 9,1635 144,35 144,35 1323,472975 1322,751225 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-15 9,1925 9,1875 143,65 143,65 1320,502625 1319,784375 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-18 9,1805 9,1755 141,38 141,38 1297,93909 1297,23219 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-19 9,2035 9,1985 139,53 139,53 1284,164355 1283,466705 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-20 9,1915 9,1865 140,39 140,39 1290,394685 1289,692735 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-21 9,1855 9,1805 139,42 139,42 1280,64241 1279,94531 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-22 9,1625 9,1575 139,82 139,82 1281,10075 1280,40165 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-25 9,1685 9,1635 140,46 140,46 1287,80751 1287,10521 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-26 9,1375 9,1325 141,64 141,64 1294,2355 1293,5273 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-27 9,1465 9,1415 140,97 140,97 1289,382105 1288,677255 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-28 9,1505 9,1455 140,24 140,24 1283,26612 1282,56492 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-04-29 9,1705 9,1655 140,09 140,09 1284,695345 1283,994895 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-03 9,2245 9,2195 141,7 141,7 1307,11165 1306,40315 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-04 9,1915 9,1865 142,13 142,13 1306,387895 1305,677245 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-06 9,1715 9,1665 143,29 143,29 1314,184235 1313,467785 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-09 9,1815 9,1765 144,27 144,27 1324,615005 1323,893655 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-10 9,1985 9,1935 144,43 144,43 1328,539355 1327,817205 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-11 9,2105 9,2055 142,91 142,91 1316,272555 1315,558005 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-12 9,2315 9,2265 143,29 143,29 1322,781635 1322,065185 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-13 9,2045 9,1995 143,71 143,71 1322,778695 1322,060145 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-17 9,2325 9,2275 144,17 144,17 1331,049525 1330,328675 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-18 9,2095 9,2045 144,82 144,82 1333,71979 1332,99569 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-19 9,1905 9,1855 146,09 146,09 1342,640145 1341,909695 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-20 9,1955 9,1905 146,97 146,97 1351,462635 1350,727785 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-23 9,1805 9,1755 147,2 147,2 1351,3696 1350,6336 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-24 9,1815 9,1765 147,69 147,69 1356,015735 1355,277285 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-25 9,1785 9,1735 147,76 147,76 1356,21516 1355,47636 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-26 9,1945 9,1895 147,15 147,15 1352,970675 1352,234925 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-27 9,1955 9,1905 148,16 148,16 1362,40528 1361,66448 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-05-30 9,1905 9,1855 148,13 148,13 1361,388765 1360,648115 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-01 9,1455 9,1405 149,03 149,03 1362,953865 1362,208715 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-02 9,1565 9,1515 151,23 151,23 1384,737495 1383,981345 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-03 9,1315 9,1265 151,14 151,14 1380,13491 1379,37921 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-07 9,1455 9,1405 150,57 150,57 1377,037935 1376,285085 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-08 9,1455 9,1405 151,55 151,55 1386,000525 1385,242775 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-09 9,1965 9,1915 150,9 150,9 1387,75185 1386,99735 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-10 9,1975 9,1925 151,61 151,61 1394,432975 1393,674925 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-13 9,2365 9,2315 152,1 152,1 1404,87165 1404,11115 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-14 9,2985 9,2935 152,81 152,81 1420,903785 1420,139735 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-15 9,2695 9,2645 153,14 153,14 1419,53123 1418,76553 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-16 9,2695 9,2645 152,61 152,61 1414,618395 1413,855345 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-17 9,2695 9,2645 153,41 153,41 1422,033995 1421,266945 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-20 9,2255 9,2205 152,98 152,98 1411,31699 1410,55209 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-21 9,2725 9,2675 153,53 153,53 1423,606925 1422,839275 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-22 9,2615 9,2565 153,98 153,98 1426,08577 1425,31587 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-27 9,3855 9,3805 152,84 152,84 1434,47982 1433,71562 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-28 9,3995 9,3945 151,56 151,56 1424,58822 1423,83042 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-29 9,4215 9,4165 153,28 153,28 1444,12752 1443,36112 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-06-30 9,4415 9,4365 153,29 153,29 1447,287535 1446,521085 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-01 9,4595 9,4545 151,88 151,88 1436,70886 1435,94946 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-04 9,4795 9,4745 153,19 153,19 1452,164605 1451,398655 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-05 9,4575 9,4525 153,82 153,82 1454,75265 1453,98355 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-06 9,4195 9,4145 153,65 153,65 1447,306175 1446,537925 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-07 9,3965 9,3915 153,66 153,66 1443,86619 1443,09789 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-08 9,4175 9,4125 151,99 151,99 1431,365825 1430,605875 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-11 9,4665 9,4615 153,94 153,94 1457,27301 1456,50331 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-12 9,4645 9,4595 153,99 153,99 1457,438355 1456,668405 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-13 9,3915 9,3865 153,12 153,12 1438,02648 1437,26088 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-14 9,3675 9,3625 154,33 154,33 1445,686275 1444,914625 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-15 9,4055 9,4005 155,34 155,34 1461,05037 1460,27367 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-18 9,3895 9,3845 155,72 155,72 1462,13294 1461,35434 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-19 9,4425 9,4375 154,96 154,96 1463,2098 1462,435 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-20 9,4265 9,4215 155,64 155,64 1467,14046 1466,36226 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-21 9,4625 9,4575 155,43 155,43 1470,756375 1469,979225 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-22 9,4495 9,4445 154,77 154,77 1462,499115 1461,725265 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-25 9,4275 9,4225 154,85 154,85 1459,848375 1459,074125 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-26 9,4155 9,4105 155,09 155,09 1460,249895 1459,474445 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-27 9,4725 9,4675 155,13 155,13 1469,468925 1468,693275 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-28 9,4515 9,4465 155,49 155,49 1469,613735 1468,836285 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-07-29 9,3885 9,3835 155,81 155,81 1462,822185 1462,043135 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-01 9,3985 9,3935 155,01 155,01 1456,861485 1456,086435 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-02 9,3995 9,3945 154,66 154,66 1453,72667 1452,95337 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-03 9,3755 9,3705 155,85 155,85 1461,171675 1460,392425 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-04 9,3735 9,3685 154,95 154,95 1452,423825 1451,649075 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-05 9,3355 9,3305 153,16 153,16 1429,82518 1429,05938 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-08 9,3335 9,3285 152,4 152,4 1422,4254 1421,6634 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-09 9,3455 9,3405 152,57 152,57 1425,842935 1425,080085 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-10 9,3535 9,3485 153,52 153,52 1435,94932 1435,18172 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-11 9,3365 9,3315 154,31 154,31 1440,715315 1439,943765 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-12 9,3025 9,2975 154,31 154,31 1435,468775 1434,697225 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-16 9,2995 9,2945 154,02 154,02 1432,30899 1431,53889 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-17 9,3405 9,3355 153,76 153,76 1436,19528 1435,42648 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-18 9,3365 9,3315 153,79 153,79 1435,860335 1435,091385 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-19 9,3395 9,3345 154,13 154,13 1439,497135 1438,726485 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-22 9,3655 9,3605 154,96 154,96 1451,27788 1450,50308 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-23 9,3715 9,3665 154,5 154,5 1447,89675 1447,12425 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-24 9,3365 9,3315 153,83 153,83 1436,233795 1435,464645 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-25 9,3335 9,3285 152,58 152,58 1424,10543 1423,34253 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-26 9,3415 9,3365 151,85 151,85 1418,506775 1417,747525 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-29 9,3295 9,3245 151,26 151,26 1411,18017 1410,42387 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-30 9,3285 9,3235 152,72 152,72 1424,64852 1423,88492 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-08-31 9,3585 9,3535 152,75 152,75 1429,510875 1428,747125 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-01 9,3365 9,3315 153,15 153,15 1429,884975 1429,119225 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-02 9,3025 9,2975 153,06 153,06 1423,84065 1423,07535 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-05 9,2845 9,2795 152,39 152,39 1414,864955 1414,103005 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-06 9,3225 9,3175 152,99 152,99 1426,249275 1425,484325 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-07 9,3075 9,3025 154,71 154,71 1439,963325 1439,189775 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-08 9,3255 9,3205 155,36 155,36 1448,80968 1448,03288 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-09 9,3445 9,3395 155,28 155,28 1451,01396 1450,23756 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-12 9,3015 9,2965 155,92 155,92 1450,28988 1449,51028 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-13 9,3015 9,2965 156,73 156,73 1457,824095 1457,040445 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-14 9,3365 9,3315 156 156 1456,494 1455,714 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-15 9,3425 9,3375 156 156 1457,43 1456,65 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-16 9,3465 9,3415 157,56 157,56 1472,63454 1471,84674 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-19 9,3355 9,3305 158,36 158,36 1478,36978 1477,57798 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-20 9,3395 9,3345 158,79 158,79 1483,019205 1482,225255 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-21 9,3405 9,3355 158,68 158,68 1482,15054 1481,35714 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-22 9,3405 9,3355 157,29 157,29 1469,167245 1468,380795 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-23 9,3695 9,3645 157,81 157,81 1478,600795 1477,811745 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-26 9,3815 9,3765 158,22 158,22 1484,34093 1483,54983 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-27 9,3885 9,3835 159,73 159,73 1499,625105 1498,826455 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-28 9,3935 9,3885 159,54 159,54 1498,63899 1497,84129 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-29 9,3845 9,3795 160,24 160,24 1503,77228 1502,97108 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-09-30 9,3435 9,3385 160,88 160,88 1503,18228 1502,37788 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-03 9,3025 9,2975 160,88 160,88 1496,5862 1495,7818 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-04 9,3185 9,3135 163,13 163,13 1520,126905 1519,311255 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-05 9,3105 9,3055 163,04 163,04 1517,98392 1517,16872 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-06 9,3015 9,2965 161,2 161,2 1499,4018 1498,5958 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-07 9,3385 9,3335 157,97 157,97 1475,202845 1474,412995 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-10 9,3465 9,3415 158,05 158,05 1477,214325 1476,424075 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-11 9,3395 9,3345 158,42 158,42 1479,56359 1478,77149 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-12 9,3375 9,3325 158,96 158,96 1484,289 1483,4942 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-13 9,3815 9,3765 158,32 158,32 1485,27908 1484,48748 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-14 9,4135 9,4085 158,15 158,15 1488,745025 1487,954275 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-17 9,4575 9,4525 157,76 157,76 1492,0152 1491,2264 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-18 9,4625 9,4575 157,83 157,83 1493,466375 1492,677225 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-19 9,4605 9,4555 157,96 157,96 1494,38058 1493,59078 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-20 9,4935 9,4885 156,79 156,79 1488,485865 1487,701915 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-21 9,4915 9,4865 156,36 156,36 1484,09094 1483,30914 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-24 9,5455 9,5405 155,4 155,4 1483,3707 1482,5937 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-25 9,5465 9,5415 156,91 156,91 1497,941315 1497,156765 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-26 9,4975 9,4925 156,23 156,23 1483,794425 1483,013275 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-27 9,5355 9,5305 156,65 156,65 1493,736075 1492,952825 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-28 9,5135 9,5085 155,07 155,07 1475,258445 1474,483095 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-10-31 9,5495 9,5445 156,08 156,08 1490,48596 1489,70556 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global 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Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-10 9,6105 9,6055 163,02 163,02 1566,70371 1565,88861 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-11 9,6365 9,6315 163,22 163,22 1572,86953 1572,05343 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-14 9,5505 9,5455 164,68 164,68 1572,77634 1571,95294 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-15 9,5805 9,5755 164,39 164,39 1574,938395 1574,116445 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-16 9,6235 9,6185 164,08 164,08 1579,02388 1578,20348 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-17 9,6355 9,6305 163,49 163,49 1575,307895 1574,490445 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-18 9,6085 9,6035 164,32 164,32 1578,86872 1578,04712 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-21 9,5915 9,5865 165,57 165,57 1588,064655 1587,236805 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-22 9,5585 9,5535 165,71 165,71 1583,939035 1583,110485 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-23 9,5155 9,5105 166,13 166,13 1580,810015 1579,979365 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-24 9,5125 9,5075 166,26 166,26 1581,54825 1580,71695 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-25 9,4965 9,4915 165,8 165,8 1574,5197 1573,6907 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-28 9,4835 9,4785 166,52 166,52 1579,19242 1578,35982 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-29 9,4785 9,4735 165,15 165,15 1565,374275 1564,548525 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-11-30 9,5295 9,5245 165,43 165,43 1576,465185 1575,638035 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-01 9,5165 9,5115 164,27 164,27 1563,275455 1562,454105 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-02 9,4905 9,4855 166,67 166,67 1581,781635 1580,948285 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-05 9,4065 9,4015 167,85 167,85 1578,881025 1578,041775 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-06 9,4185 9,4135 166,93 166,93 1572,230205 1571,395555 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-07 9,4255 9,4205 167,09 167,09 1574,906795 1574,071345 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-08 9,3965 9,3915 167,16 167,16 1570,71894 1569,88314 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-12 9,4315 9,4265 166,22 166,22 1567,70393 1566,87283 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-13 9,4295 9,4245 165,72 165,72 1562,65674 1561,82814 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-14 9,4365 9,4315 166,42 166,42 1570,42233 1569,59023 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-15 9,4345 9,4295 165,93 165,93 1565,466585 1564,636935 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-16 9,4765 9,4715 165,96 165,96 1572,71994 1571,89014 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-19 9,4535 9,4485 165,82 165,82 1567,57937 1566,75027 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-20 9,4015 9,3965 165,39 165,39 1554,914085 1554,087135 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-21 9,4485 9,4435 166,35 166,35 1571,757975 1570,926225 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-22 9,4365 9,4315 168,06 168,06 1585,89819 1585,05789 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-23 9,4425 9,4375 167,74 167,74 1583,88495 1583,04625 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-27 9,4915 9,4865 168,12 168,12 1595,71098 1594,87038 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-28 9,4345 9,4295 167,49 167,49 1580,184405 1579,346955 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-29 9,4115 9,4065 167,27 167,27 1574,261605 1573,425255 127860 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Global Sustainability EUR 2005-12-30 9,4325 9,4275 168,05 168,05 1585,131625 1584,291375 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-03 6,668 6,658 11,47 11,47 76,48196 76,36726 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-04 6,728 6,718 11,3 11,3 76,0264 75,9134 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-05 6,828 6,818 11,02 11,02 75,24456 75,13436 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-07 6,87 6,86 10,86 10,86 74,6082 74,4996 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-10 6,96091 6,95091 10,84 10,84 75,4562644 75,3478644 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-11 6,96091 6,95091 10,87 10,87 75,6650917 75,5563917 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-12 6,913 6,903 10,82 10,82 74,79866 74,69046 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-13 6,843 6,833 10,84 10,84 74,17812 74,06972 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-14 6,915 6,905 10,82 10,82 74,8203 74,7121 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-17 6,915 6,905 10,95 10,95 75,71925 75,60975 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-18 6,968 6,958 10,92 10,92 76,09056 75,98136 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-19 6,91 6,9 10,92 10,92 75,4572 75,348 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-20 6,96 6,95 10,79 10,79 75,0984 74,9905 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-21 6,978 6,968 10,66 10,66 74,38548 74,27888 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-24 6,933 6,923 10,55 10,55 73,14315 73,03765 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-25 6,95 6,94 10,63 10,63 73,8785 73,7722 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-26 6,995 6,985 10,7 10,7 74,8465 74,7395 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-27 6,93 6,92 10,72 10,72 74,2896 74,1824 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-28 6,985 6,975 10,79 10,79 75,36815 75,26025 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-01-31 6,998 6,988 10,95 10,95 76,6281 76,5186 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-01 6,993 6,983 10,84 10,84 75,80412 75,69572 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-02 6,953 6,943 10,88 10,88 75,64864 75,53984 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-03 6,968 6,958 10,89 10,89 75,88152 75,77262 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-04 7,01 7 10,92 10,92 76,5492 76,44 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-07 7,065 7,055 10,98 10,98 77,5737 77,4639 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-08 7,123 7,113 11,05 11,05 78,70915 78,59865 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-09 7,1 7,09 11,05 11,05 78,455 78,3445 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-10 7,088 7,078 11,05 11,05 78,3224 78,2119 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-11 7,068 7,058 11,05 11,05 78,1014 77,9909 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-14 7,03 7,02 11,12 11,12 78,1736 78,0624 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-15 7,005 6,995 11,16 11,16 78,1758 78,0642 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-16 6,973 6,963 11,21 11,21 78,16733 78,05523 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-17 6,97 6,96 11,19 11,19 77,9943 77,8824 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-18 6,965 6,955 11,33 11,33 78,91345 78,80015 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-21 6,978 6,968 11,38 11,38 79,40964 79,29584 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-22 6,905 6,895 11,31 11,31 78,09555 77,98245 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-23 6,895 6,885 11,31 11,31 77,98245 77,86935 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-24 6,858 6,848 11,38 11,38 78,04404 77,93024 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-25 6,885 6,875 11,5 11,5 79,1775 79,0625 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-02-28 6,828 6,818 11,54 11,54 78,79512 78,67972 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-01 6,87 6,86 11,58 11,58 79,5546 79,4388 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-02 6,888 6,878 11,45 11,45 78,8676 78,7531 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-03 6,903 6,893 11,41 11,41 78,76323 78,64913 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-04 6,9 6,89 11,34 11,34 78,246 78,1326 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-07 6,84 6,83 11,36 11,36 77,7024 77,5888 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-08 6,825 6,815 11,35 11,35 77,46375 77,35025 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-09 6,76 6,75 11,43 11,43 77,2668 77,1525 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-10 6,745 6,735 11,41 11,41 76,96045 76,84635 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-11 6,765 6,755 11,43 11,43 77,32395 77,20965 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-14 6,76 6,75 11,32 11,32 76,5232 76,41 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-15 6,815 6,805 11,09 11,09 75,57835 75,46745 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-16 6,81 6,8 11,14 11,14 75,8634 75,752 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-17 6,795 6,785 11,07 11,07 75,22065 75,10995 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-18 6,828 6,818 11,01 11,01 75,17628 75,06618 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-21 6,908 6,898 11 11 75,988 75,878 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-22 6,928 6,918 10,89 10,89 75,44592 75,33702 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-23 6,973 6,963 10,81 10,81 75,37813 75,27003 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-24 7,008 6,998 10,82 10,82 75,82656 75,71836 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-29 7,055 7,045 10,71 10,71 75,55905 75,45195 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-30 7,053 7,043 10,67 10,67 75,25551 75,14881 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-03-31 7,065 7,055 10,83 10,83 76,51395 76,40565 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-01 7,07 7,06 10,93 10,93 77,2751 77,1658 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-04 7,113 7,103 10,92 10,92 77,67396 77,56476 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-05 7,163 7,153 10,91 10,91 78,14833 78,03923 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-06 7,125 7,115 10,91 10,91 77,73375 77,62465 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-07 7,083 7,073 10,89 10,89 77,13387 77,02497 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-08 7,153 7,143 10,97 10,97 78,46841 78,35871 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-11 7,098 7,088 10,91 10,91 77,43918 77,33008 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-12 7,048 7,038 10,88 10,88 76,68224 76,57344 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-13 7,075 7,065 10,93 10,93 77,32975 77,22045 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-14 7,12 7,11 10,86 10,86 77,3232 77,2146 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-15 7,17 7,16 10,71 10,71 76,7907 76,6836 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-18 7,08 7,07 10,39 10,39 73,5612 73,4573 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-19 7,068 7,058 10,48 10,48 74,07264 73,96784 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-20 7,043 7,033 10,43 10,43 73,45849 73,35419 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-21 7,025 7,015 10,46 10,46 73,4815 73,3769 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-22 7,023 7,013 10,5 10,5 73,7415 73,6365 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-25 7,04 7,03 10,53 10,53 74,1312 74,0259 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-26 7,035 7,025 10,61 10,61 74,64135 74,53525 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-27 7,085 7,075 10,59 10,59 75,03015 74,92425 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-28 7,085 7,075 10,67 10,67 75,59695 75,49025 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-04-29 7,08 7,07 10,64 10,64 75,3312 75,2248 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-03 7,178 7,168 10,66 10,66 76,51748 76,41088 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-04 7,11 7,1 10,69 10,69 76,0059 75,899 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-06 7,085 7,075 10,89 10,89 77,15565 77,04675 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-09 7,168 7,158 10,88 10,88 77,98784 77,87904 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-10 7,178 7,168 10,85 10,85 77,8813 77,7728 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-11 7,15 7,14 10,75 10,75 76,8625 76,755 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-12 7,243 7,233 10,76 10,76 77,93468 77,82708 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-13 7,265 7,255 10,74 10,74 78,0261 77,9187 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-17 7,313 7,303 10,55 10,55 77,15215 77,04665 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-18 7,3 7,29 10,56 10,56 77,088 76,9824 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-19 7,26 7,25 10,66 10,66 77,3916 77,285 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-20 7,28 7,27 10,68 10,68 77,7504 77,6436 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-23 7,32 7,31 10,56 10,56 77,2992 77,1936 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-24 7,295 7,285 10,62 10,62 77,4729 77,3667 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-25 7,298 7,288 10,5 10,5 76,629 76,524 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-26 7,33 7,32 10,52 10,52 77,1116 77,0064 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-27 7,338 7,328 10,67 10,67 78,29646 78,18976 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-30 7,338 7,328 10,75 10,75 78,8835 78,776 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-05-31 7,403 7,393 10,77 10,77 79,73031 79,62261 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-01 7,428 7,418 10,76 10,76 79,92528 79,81768 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-02 7,473 7,463 10,79 10,79 80,63367 80,52577 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-03 7,438 7,428 10,9 10,9 81,0742 80,9652 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-07 7,448 7,438 10,92 10,92 81,33216 81,22296 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-08 7,435 7,425 11,02 11,02 81,9337 81,8235 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-09 7,523 7,513 11,02 11,02 82,90346 82,79326 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-10 7,525 7,515 11,07 11,07 83,30175 83,19105 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-13 7,643 7,633 11,06 11,06 84,53158 84,42098 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-14 7,663 7,653 10,99 10,99 84,21637 84,10647 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-15 7,693 7,683 11,05 11,05 85,00765 84,89715 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-16 7,678 7,668 11,07 11,07 84,99546 84,88476 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-17 7,643 7,633 11,14 11,14 85,14302 85,03162 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-20 7,543 7,533 11,12 11,12 83,87816 83,76696 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-21 7,648 7,638 11,1 11,1 84,8928 84,7818 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-22 7,608 7,598 11,24 11,24 85,51392 85,40152 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-27 7,73 7,72 11,22 11,22 86,7306 86,6184 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-28 7,76 7,75 11,21 11,21 86,9896 86,8775 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-29 7,833 7,823 11,12 11,12 87,10296 86,99176 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-06-30 7,823 7,813 11,06 11,06 86,52238 86,41178 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-01 7,858 7,848 11,08 11,08 87,06664 86,95584 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-04 7,945 7,935 11,05 11,05 87,79225 87,68175 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-05 7,963 7,953 10,99 10,99 87,51337 87,40347 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-06 7,895 7,885 11,01 11,01 86,92395 86,81385 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-07 7,878 7,868 10,91 10,91 85,94898 85,83988 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-08 7,913 7,903 10,88 10,88 86,09344 85,98464 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-11 7,89 7,88 11,04 11,04 87,1056 86,9952 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-12 7,77 7,76 11,17 11,17 86,7909 86,6792 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-13 7,703 7,693 11,21 11,21 86,35063 86,23853 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-14 7,76 7,75 11,38 11,38 88,3088 88,195 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-15 7,76 7,75 11,4 11,4 88,464 88,35 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-18 7,78 7,77 11,41 11,41 88,7698 88,6557 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-19 7,878 7,868 11,44 11,44 90,12432 90,00992 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-20 7,818 7,808 11,48 11,48 89,75064 89,63584 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-21 7,775 7,765 11,44 11,44 88,946 88,8316 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-22 7,758 7,748 11,62 11,62 90,14796 90,03176 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-25 7,838 7,828 11,58 11,58 90,76404 90,64824 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-26 7,818 7,808 11,5 11,5 89,907 89,792 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-27 7,905 7,895 11,47 11,47 90,67035 90,55565 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-28 7,848 7,838 11,52 11,52 90,40896 90,29376 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-07-29 7,748 7,738 11,48 11,48 88,94704 88,83224 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-01 7,72 7,71 11,55 11,55 89,166 89,0505 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-02 7,7 7,69 11,68 11,68 89,936 89,8192 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-03 7,685 7,675 11,79 11,79 90,60615 90,48825 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-04 7,618 7,608 11,76 11,76 89,58768 89,47008 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-05 7,548 7,538 11,74 11,74 88,61352 88,49612 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-08 7,558 7,548 11,65 11,65 88,0507 87,9342 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-09 7,548 7,538 11,63 11,63 87,78324 87,66694 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-10 7,558 7,548 11,75 11,75 88,8065 88,689 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-11 7,523 7,513 11,82 11,82 88,92186 88,80366 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-12 7,46 7,45 11,82 11,82 88,1772 88,059 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-16 7,523 7,513 11,65 11,65 87,64295 87,52645 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-17 7,605 7,595 11,67 11,67 88,75035 88,63365 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-18 7,61 7,6 11,5 11,5 87,515 87,4 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-19 7,698 7,688 11,37 11,37 87,52626 87,41256 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-08-22 7,69 7,68 11,46 11,46 88,1274 88,0128 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund 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7,658 11,11 11,11 85,19148 85,08038 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-01 7,568 7,558 11,2 11,2 84,7616 84,6496 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-02 7,435 7,425 11,32 11,32 84,1642 84,051 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-05 7,41 7,4 11,33 11,33 83,9553 83,842 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-06 7,485 7,475 11,32 11,32 84,7302 84,617 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-07 7,43 7,42 11,35 11,35 84,3305 84,217 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-08 7,498 7,488 11,29 11,29 84,65242 84,53952 992032 Credit Suisse 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Equity Fund (Lux) Greater China USD 2005-09-20 7,688 7,678 11,24 11,24 86,41312 86,30072 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-21 7,663 7,653 11,2 11,2 85,8256 85,7136 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-22 7,648 7,638 11,08 11,08 84,73984 84,62904 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-23 7,733 7,723 11,01 11,01 85,14033 85,03023 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-26 7,798 7,788 11,03 11,03 86,01194 85,90164 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-27 7,825 7,815 11,01 11,01 86,15325 86,04315 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-28 7,81 7,8 11,07 11,07 86,4567 86,346 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-29 7,785 7,775 11,3 11,3 87,9705 87,8575 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-09-30 7,785 7,775 11,45 11,45 89,13825 89,02375 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-03 7,783 7,773 11,47 11,47 89,27101 89,15631 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-04 7,82 7,81 11,48 11,48 89,7736 89,6588 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-05 7,795 7,785 11,37 11,37 88,62915 88,51545 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-06 7,713 7,703 11,16 11,16 86,07708 85,96548 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-07 7,683 7,673 11,14 11,14 85,58862 85,47722 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-10 7,698 7,688 11,17 11,17 85,98666 85,87496 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-12 7,805 7,795 10,88 10,88 84,9184 84,8096 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-13 7,83 7,82 10,82 10,82 84,7206 84,6124 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-14 7,833 7,823 10,77 10,77 84,36141 84,25371 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-17 7,835 7,825 10,72 10,72 83,9912 83,884 992032 Credit Suisse Asset Management Fund 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2005-10-26 7,868 7,858 10,34 10,34 81,35512 81,25172 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-27 7,868 7,858 10,26 10,26 80,72568 80,62308 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-28 7,825 7,815 10,15 10,15 79,42375 79,32225 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-10-31 7,905 7,895 10,36 10,36 81,8958 81,7922 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-02 7,98 7,97 10,52 10,52 83,9496 83,8444 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-03 8,01 8 10,54 10,54 84,4254 84,32 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-04 8,028 8,018 10,58 10,58 84,93624 84,83044 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-07 8,135 8,125 10,42 10,42 84,7667 84,6625 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-08 8,17 8,16 10,41 10,41 85,0497 84,9456 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-09 8,12 8,11 10,56 10,56 85,7472 85,6416 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-10 8,173 8,163 10,64 10,64 86,96072 86,85432 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-11 8,235 8,225 10,77 10,77 88,69095 88,58325 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-14 8,133 8,123 10,72 10,72 87,18576 87,07856 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-15 8,185 8,175 10,68 10,68 87,4158 87,309 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-16 8,21 8,2 10,65 10,65 87,4365 87,33 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-17 8,258 8,248 10,67 10,67 88,11286 88,00616 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-18 8,223 8,213 10,8 10,8 88,8084 88,7004 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-21 8,123 8,113 10,83 10,83 87,97209 87,86379 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-22 8,15 8,14 10,82 10,82 88,183 88,0748 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-23 8,048 8,038 10,99 10,99 88,44752 88,33762 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-24 8,053 8,043 11,03 11,03 88,82459 88,71429 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-25 8,078 8,068 11,01 11,01 88,93878 88,82868 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-28 8,118 8,108 11,05 11,05 89,7039 89,5934 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-29 8,015 8,005 10,95 10,95 87,76425 87,65475 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-11-30 8,088 8,078 10,98 10,98 88,80624 88,69644 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-01 8,083 8,073 11,06 11,06 89,39798 89,28738 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-02 8,103 8,093 11,16 11,16 90,42948 90,31788 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-05 8,045 8,035 11,23 11,23 90,34535 90,23305 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-06 7,993 7,983 11,2 11,2 89,5216 89,4096 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-07 8,015 8,005 11,29 11,29 90,48935 90,37645 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-08 7,988 7,978 11,13 11,13 88,90644 88,79514 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-12 7,953 7,943 11,24 11,24 89,39172 89,27932 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-13 7,905 7,895 11,17 11,17 88,29885 88,18715 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-14 7,848 7,838 11,12 11,12 87,26976 87,15856 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-15 7,858 7,848 11,14 11,14 87,53812 87,42672 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-16 7,903 7,893 11,2 11,2 88,5136 88,4016 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-19 7,865 7,855 11,3 11,3 88,8745 88,7615 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-20 7,848 7,838 11,23 11,23 88,13304 88,02074 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-21 7,948 7,938 11,32 11,32 89,97136 89,85816 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-22 7,98 7,97 11,3 11,3 90,174 90,061 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-23 7,955 7,945 11,41 11,41 90,76655 90,65245 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-27 8,01 8 11,41 11,41 91,3941 91,28 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-28 7,915 7,905 11,37 11,37 89,99355 89,87985 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-29 7,938 7,928 11,45 11,45 90,8901 90,7756 992032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Greater China USD 2005-12-30 7,958 7,948 11,4 11,4 90,7212 90,6072 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-03 6,668 6,658 1252,64 1252,64 8352,60352 8340,07712 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-04 6,728 6,718 1240,17 1240,17 8343,86376 8331,46206 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-05 6,828 6,818 1197,83 1197,83 8178,78324 8166,80494 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-07 6,87 6,86 1179,78 1179,78 8105,0886 8093,2908 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-10 6,96091 6,95091 1186,04 1186,04 8255,9176964 8244,0572964 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-11 6,96091 6,95091 1183,53 1183,53 8238,4458123 8226,6105123 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-12 6,913 6,903 1171,31 1171,31 8097,26603 8085,55293 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-13 6,843 6,833 1181,14 1181,14 8082,54102 8070,72962 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-14 6,915 6,905 1194,6 1194,6 8260,659 8248,713 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-17 6,915 6,905 1208,6 1208,6 8357,469 8345,383 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-18 6,968 6,958 1207,07 1207,07 8410,86376 8398,79306 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-19 6,91 6,9 1197,58 1197,58 8275,2778 8263,302 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-20 6,96 6,95 1198,5 1198,5 8341,56 8329,575 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-21 6,978 6,968 1172,78 1172,78 8183,65884 8171,93104 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-24 6,933 6,923 1182,65 1182,65 8199,31245 8187,48595 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-25 6,95 6,94 1195,64 1195,64 8309,698 8297,7416 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-26 6,995 6,985 1196,24 1196,24 8367,6988 8355,7364 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-27 6,93 6,92 1215,32 1215,32 8422,1676 8410,0144 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-28 6,985 6,975 1207,08 1207,08 8431,4538 8419,383 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-01-31 6,998 6,988 1213,38 1213,38 8491,23324 8479,09944 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-02-01 6,993 6,983 1237,11 1237,11 8651,11023 8638,73913 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-02-02 6,953 6,943 1250 1250 8691,25 8678,75 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-02-03 6,968 6,958 1261,65 1261,65 8791,1772 8778,5607 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-02-04 7,01 7 1273,23 1273,23 8925,3423 8912,61 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-02-07 7,065 7,055 1297,74 1297,74 9168,5331 9155,5557 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-02-08 7,123 7,113 1305,22 1305,22 9297,08206 9284,02986 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-02-09 7,1 7,09 1304,87 1304,87 9264,577 9251,5283 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-02-10 7,088 7,078 1316,11 1316,11 9328,58768 9315,42658 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-02-11 7,068 7,058 1314,75 1314,75 9292,653 9279,5055 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-02-14 7,03 7,02 1321,28 1321,28 9288,5984 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10041,69039 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-03 7,438 7,428 1375,57 1375,57 10231,48966 10217,73396 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-07 7,448 7,438 1335,87 1335,87 9949,55976 9936,20106 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-08 7,435 7,425 1320,62 1320,62 9818,8097 9805,6035 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-09 7,523 7,513 1319,35 1319,35 9925,47005 9912,27655 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-10 7,525 7,515 1307,21 1307,21 9836,75525 9823,68315 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-13 7,643 7,633 1322,1 1322,1 10104,8103 10091,5893 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-14 7,663 7,653 1327,66 1327,66 10173,85858 10160,58198 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-15 7,693 7,683 1347,01 1347,01 10362,54793 10349,07783 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-16 7,678 7,668 1356,39 1356,39 10414,36242 10400,79852 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-17 7,643 7,633 1376,17 1376,17 10518,06731 10504,30561 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-20 7,543 7,533 1397,72 1397,72 10543,00196 10529,02476 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-21 7,648 7,638 1398,67 1398,67 10697,02816 10683,04146 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-22 7,608 7,598 1393,44 1393,44 10601,29152 10587,35712 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-27 7,73 7,72 1360,71 1360,71 10518,2883 10504,6812 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-28 7,76 7,75 1377,06 1377,06 10685,9856 10672,215 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-29 7,833 7,823 1386,7 1386,7 10862,0211 10848,1541 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-06-30 7,823 7,813 1392,24 1392,24 10891,49352 10877,57112 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-01 7,858 7,848 1386,03 1386,03 10891,42374 10877,56344 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-04 7,945 7,935 1402,21 1402,21 11140,55845 11126,53635 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-05 7,963 7,953 1402,21 1402,21 11165,79823 11151,77613 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-06 7,895 7,885 1385,55 1385,55 10938,91725 10925,06175 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-07 7,878 7,868 1381,77 1381,77 10885,58406 10871,76636 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-08 7,913 7,903 1382,52 1382,52 10939,88076 10926,05556 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-11 7,89 7,88 1395,83 1395,83 11013,0987 10999,1404 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-12 7,77 7,76 1410,62 1410,62 10960,5174 10946,4112 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-13 7,703 7,693 1427,42 1427,42 10995,41626 10981,14206 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-14 7,76 7,75 1433,19 1433,19 11121,5544 11107,2225 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-15 7,76 7,75 1434,74 1434,74 11133,5824 11119,235 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-18 7,78 7,77 1421,22 1421,22 11057,0916 11042,8794 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-19 7,878 7,868 1426,01 1426,01 11234,10678 11219,84668 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-20 7,818 7,808 1430,02 1430,02 11179,89636 11165,59616 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-21 7,775 7,765 1442,08 1442,08 11212,172 11197,7512 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-22 7,758 7,748 1450,2 1450,2 11250,6516 11236,1496 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-25 7,838 7,828 1440,68 1440,68 11292,04984 11277,64304 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-26 7,818 7,808 1392,38 1392,38 10885,62684 10871,70304 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-27 7,905 7,895 1393,14 1393,14 11012,7717 10998,8403 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-28 7,848 7,838 1419,82 1419,82 11142,74736 11128,54916 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-07-29 7,748 7,738 1446,04 1446,04 11203,91792 11189,45752 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-01 7,72 7,71 1456,79 1456,79 11246,4188 11231,8509 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-02 7,7 7,69 1475,53 1475,53 11361,581 11346,8257 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-03 7,685 7,675 1501,87 1501,87 11541,87095 11526,85225 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-04 7,618 7,608 1515,38 1515,38 11544,16484 11529,01104 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-05 7,548 7,538 1514,4 1514,4 11430,6912 11415,5472 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-08 7,558 7,548 1509,56 1509,56 11409,25448 11394,15888 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-09 7,548 7,538 1516,75 1516,75 11448,429 11433,2615 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-10 7,558 7,548 1538,28 1538,28 11626,32024 11610,93744 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-11 7,523 7,513 1554,44 1554,44 11694,05212 11678,50772 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-12 7,46 7,45 1534,05 1534,05 11444,013 11428,6725 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-16 7,523 7,513 1546,42 1546,42 11633,71766 11618,25346 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-17 7,605 7,595 1525,79 1525,79 11603,63295 11588,37505 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-18 7,61 7,6 1525,95 1525,95 11612,4795 11597,22 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-19 7,698 7,688 1507,15 1507,15 11602,0407 11586,9692 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-22 7,69 7,68 1481,74 1481,74 11394,5806 11379,7632 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-23 7,663 7,653 1515,95 1515,95 11616,72485 11601,56535 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-24 7,673 7,663 1495,93 1495,93 11478,27089 11463,31159 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-25 7,588 7,578 1483,46 1483,46 11256,49448 11241,65988 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-26 7,578 7,568 1506,56 1506,56 11416,71168 11401,64608 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-29 7,573 7,563 1491,15 1491,15 11292,47895 11277,56745 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-30 7,633 7,623 1496,28 1496,28 11421,10524 11406,14244 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-08-31 7,668 7,658 1500,94 1500,94 11509,20792 11494,19852 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-01 7,568 7,558 1532,51 1532,51 11598,03568 11582,71058 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-02 7,435 7,425 1545,98 1545,98 11494,3613 11478,9015 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-05 7,41 7,4 1570,41 1570,41 11636,7381 11621,034 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-06 7,485 7,475 1570,41 1570,41 11754,51885 11738,81475 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-07 7,43 7,42 1597,67 1597,67 11870,6881 11854,7114 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-08 7,498 7,488 1600,93 1600,93 12003,77314 11987,76384 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-09 7,523 7,513 1600,01 1600,01 12036,87523 12020,87513 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-12 7,555 7,545 1619,73 1619,73 12237,06015 12220,86285 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-13 7,57 7,56 1617,36 1617,36 12243,4152 12227,2416 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-14 7,61 7,6 1600,08 1600,08 12176,6088 12160,608 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-15 7,658 7,648 1612,21 1612,21 12346,30418 12330,18208 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-16 7,613 7,603 1640,03 1640,03 12485,54839 12469,14809 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-19 7,698 7,688 1660,83 1660,83 12785,06934 12768,46104 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-20 7,688 7,678 1669,56 1669,56 12835,57728 12818,88168 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-21 7,663 7,653 1668,87 1668,87 12788,55081 12771,86211 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-22 7,648 7,638 1703,86 1703,86 13031,12128 13014,08268 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-23 7,733 7,723 1694,49 1694,49 13103,49117 13086,54627 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-26 7,798 7,788 1713,93 1713,93 13365,22614 13348,08684 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-27 7,825 7,815 1721,38 1721,38 13469,7985 13452,5847 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-28 7,81 7,8 1714,92 1714,92 13393,5252 13376,376 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-29 7,785 7,775 1735,74 1735,74 13512,7359 13495,3785 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-09-30 7,785 7,775 1745,71 1745,71 13590,35235 13572,89525 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-03 7,783 7,773 1757,46 1757,46 13678,31118 13660,73658 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-04 7,82 7,81 1768,83 1768,83 13832,2506 13814,5623 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-05 7,795 7,785 1744,3 1744,3 13596,8185 13579,3755 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-06 7,713 7,703 1691,89 1691,89 13049,54757 13032,62867 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-07 7,683 7,673 1633,8 1633,8 12552,4854 12536,1474 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-10 7,698 7,688 1670,62 1670,62 12860,43276 12843,72656 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-11 7,77 7,76 1683,79 1683,79 13083,0483 13066,2104 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-12 7,805 7,795 1695,15 1695,15 13230,64575 13213,69425 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-13 7,83 7,82 1661,07 1661,07 13006,1781 12989,5674 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-14 7,833 7,823 1638,64 1638,64 12835,46712 12819,08072 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-17 7,835 7,825 1637,76 1637,76 12831,8496 12815,472 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-18 7,893 7,883 1672,08 1672,08 13197,72744 13181,00664 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-19 7,96 7,95 1638,85 1638,85 13045,246 13028,8575 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-20 7,93 7,92 1652,93 1652,93 13107,7349 13091,2056 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-21 7,883 7,873 1608,99 1608,99 12683,66817 12667,57827 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-24 7,995 7,985 1627,48 1627,48 13011,7026 12995,4278 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-25 7,99 7,98 1657,72 1657,72 13245,1828 13228,6056 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-26 7,868 7,858 1644,78 1644,78 12941,12904 12924,68124 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-27 7,868 7,858 1657,49 1657,49 13041,13132 13024,55642 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-28 7,825 7,815 1627,87 1627,87 12738,08275 12721,80405 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-10-31 7,905 7,895 1658,02 1658,02 13106,6481 13090,0679 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-02 7,98 7,97 1722,36 1722,36 13744,4328 13727,2092 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-03 8,01 8 1732,07 1732,07 13873,8807 13856,56 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-04 8,028 8,018 1745,25 1745,25 14010,867 13993,4145 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-07 8,135 8,125 1737,07 1737,07 14131,06445 14113,69375 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-08 8,17 8,16 1745,58 1745,58 14261,3886 14243,9328 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-09 8,12 8,11 1753,33 1753,33 14237,0396 14219,5063 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-10 8,173 8,163 1763,22 1763,22 14410,79706 14393,16486 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-11 8,235 8,225 1766,01 1766,01 14543,09235 14525,43225 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-14 8,133 8,123 1771,4 1771,4 14406,7962 14389,0822 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-15 8,185 8,175 1752,42 1752,42 14343,5577 14326,0335 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-16 8,21 8,2 1748,33 1748,33 14353,7893 14336,306 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-17 8,258 8,248 1769,46 1769,46 14612,20068 14594,50608 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-18 8,223 8,213 1801,1 1801,1 14810,4453 14792,4343 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-21 8,123 8,113 1791,79 1791,79 14554,71017 14536,79227 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-22 8,15 8,14 1799,62 1799,62 14666,903 14648,9068 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-23 8,048 8,038 1797,46 1797,46 14465,95808 14447,98348 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-24 8,053 8,043 1810,6 1810,6 14580,7618 14562,6558 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-28 8,118 8,108 1820,05 1820,05 14775,1659 14756,9654 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-29 8,015 8,005 1808,67 1808,67 14496,49005 14478,40335 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-11-30 8,088 8,078 1812,95 1812,95 14663,1396 14645,0101 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-01 8,083 8,073 1816,33 1816,33 14681,39539 14663,23209 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-02 8,103 8,093 1850,94 1850,94 14998,16682 14979,65742 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-05 8,045 8,035 1870,69 1870,69 15049,70105 15030,99415 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-06 7,993 7,983 1868,84 1868,84 14937,63812 14918,94972 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-07 8,015 8,005 1904,41 1904,41 15263,84615 15244,80205 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-08 7,988 7,978 1872,88 1872,88 14960,56544 14941,83664 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-12 7,953 7,943 1843,98 1843,98 14665,17294 14646,73314 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-13 7,905 7,895 1847,47 1847,47 14604,25035 14585,77565 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-14 7,848 7,838 1862,06 1862,06 14613,44688 14594,82628 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-15 7,858 7,848 1860,68 1860,68 14621,22344 14602,61664 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-16 7,903 7,893 1837,46 1837,46 14521,44638 14503,07178 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-19 7,865 7,855 1821,23 1821,23 14323,97395 14305,76165 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-20 7,848 7,838 1792,29 1792,29 14065,89192 14047,96902 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-21 7,948 7,938 1806,46 1806,46 14357,74408 14339,67948 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-22 7,98 7,97 1843,64 1843,64 14712,2472 14693,8108 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-23 7,955 7,945 1833,8 1833,8 14587,879 14569,541 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-27 8,01 8 1832,53 1832,53 14678,5653 14660,24 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-28 7,915 7,905 1821,53 1821,53 14417,40995 14399,19465 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-29 7,938 7,928 1814,02 1814,02 14399,69076 14381,55056 956201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Latin America USD 2005-12-30 7,958 7,948 1832,46 1832,46 14582,71668 14564,39208 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-03 9,0065 9,0015 943,15 943,15 8494,480475 8489,764725 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-04 9,0345 9,0295 953,14 953,14 8611,14333 8606,37763 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-05 9,0615 9,0565 958,22 958,22 8682,91053 8678,11943 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-07 9,0615 9,0565 957,73 957,73 8678,470395 8673,681745 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-10 9,08619 9,08119 968,06 968,06 8795,9770914 8791,1367914 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-11 9,08619 9,08119 969,28 969,28 8807,0622432 8802,2158432 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-12 9,0455 9,0405 968,05 968,05 8756,496275 8751,656025 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-13 9,0505 9,0455 966,76 966,76 8749,66138 8744,82758 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-14 9,0455 9,0405 972,37 972,37 8795,572835 8790,710985 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-17 9,0685 9,0635 974,28 974,28 8835,25818 8830,38678 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-18 9,0585 9,0535 980,03 980,03 8877,601755 8872,701605 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-19 9,0225 9,0175 982,6 982,6 8865,5085 8860,5955 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-20 9,0315 9,0265 986,25 986,25 8907,316875 8902,385625 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-21 9,0505 9,0455 982,86 982,86 8895,37443 8890,46013 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-24 9,0655 9,0605 983,81 983,81 8918,729555 8913,810505 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-25 9,0715 9,0665 980,05 980,05 8890,523575 8885,623325 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-26 9,0885 9,0835 988,9 988,9 8987,61765 8982,67315 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-27 9,0675 9,0625 991,46 991,46 8990,06355 8985,10625 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-28 9,0955 9,0905 995,05 995,05 9050,477275 9045,502025 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-01-31 9,1075 9,1025 996,61 996,61 9076,625575 9071,642525 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-01 9,1035 9,0985 1003,6 1003,6 9136,2726 9131,2546 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-02 9,0905 9,0855 1011,45 1011,45 9194,586225 9189,528975 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-03 9,0695 9,0645 1013,28 1013,28 9189,94296 9184,87656 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-04 9,0895 9,0845 1012,38 1012,38 9202,02801 9196,96611 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-07 9,0755 9,0705 1020,2 1020,2 9258,8251 9253,7241 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-08 9,0895 9,0845 1028,32 1028,32 9346,91464 9341,77304 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-09 9,0695 9,0645 1032,59 1032,59 9365,075005 9359,912055 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-10 9,0805 9,0755 1035,3 1035,3 9401,04165 9395,86515 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-11 9,0935 9,0885 1030,96 1030,96 9375,03476 9369,87996 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-14 9,1105 9,1055 1037,35 1037,35 9450,777175 9445,590425 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-15 9,0765 9,0715 1041,65 1041,65 9454,536225 9449,327975 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-16 9,0705 9,0655 1045,06 1045,06 9479,21673 9473,99143 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-17 9,0925 9,0875 1039,04 1039,04 9447,4712 9442,276 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-18 9,0945 9,0895 1044,53 1044,53 9499,478085 9494,255435 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-21 9,1185 9,1135 1043,97 1043,97 9519,440445 9514,220595 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-22 9,0975 9,0925 1040,43 1040,43 9465,311925 9460,109775 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-23 9,1045 9,0995 1034,98 1034,98 9422,97541 9417,80051 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-24 9,0715 9,0665 1032,26 1032,26 9364,14659 9358,98529 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-25 9,0845 9,0795 1035,48 1035,48 9406,81806 9401,64066 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-02-28 9,0505 9,0455 1042,84 1042,84 9438,22342 9433,00922 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-01 9,0565 9,0515 1046,22 1046,22 9475,09143 9469,86033 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-02 9,0645 9,0595 1051,49 1051,49 9531,231105 9525,973655 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-03 9,0675 9,0625 1049,69 1049,69 9518,064075 9512,815625 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-04 9,0415 9,0365 1049,69 1049,69 9490,772135 9485,523685 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-07 9,0425 9,0375 1054,37 1054,37 9534,140725 9528,868875 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-08 9,0345 9,0295 1058,63 1058,63 9564,192735 9558,899585 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-09 9,0365 9,0315 1055,17 1055,17 9535,043705 9529,767855 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-10 9,0655 9,0605 1052,92 1052,92 9545,24626 9539,98166 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-11 9,0795 9,0745 1047,35 1047,35 9509,414325 9504,177575 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-14 9,0695 9,0645 1051,71 1051,71 9538,483845 9533,225295 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-15 9,1035 9,0985 1048,58 1048,58 9545,74803 9540,50513 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-16 9,0975 9,0925 1052,58 1052,58 9575,84655 9570,58365 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-17 9,1045 9,0995 1042,92 1042,92 9495,26514 9490,05054 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-18 9,1035 9,0985 1042,08 1042,08 9486,57528 9481,36488 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-21 9,1265 9,1215 1047,57 1047,57 9560,647605 9555,409755 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-22 9,1265 9,1215 1048,38 1048,38 9568,04007 9562,79817 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-23 9,1165 9,1115 1046,45 1046,45 9539,961425 9534,729175 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-24 9,1135 9,1085 1040,32 1040,32 9480,95632 9475,75472 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-29 9,1315 9,1265 1046,45 1046,45 9555,658175 9550,425925 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-30 9,1425 9,1375 1044,22 1044,22 9546,78135 9541,56025 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-03-31 9,1405 9,1355 1040,51 1040,51 9510,781655 9505,579105 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-01 9,1645 9,1595 1047,71 1047,71 9601,738295 9596,499745 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-04 9,1695 9,1645 1056,1 1056,1 9683,90895 9678,62845 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-05 9,1745 9,1695 1054,45 1054,45 9674,051525 9668,779275 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-06 9,1705 9,1655 1060,09 1060,09 9721,555345 9716,254895 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-07 9,1505 9,1455 1066,06 1066,06 9754,98203 9749,65173 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-08 9,1625 9,1575 1070,29 1070,29 9806,532125 9801,180675 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-11 9,1705 9,1655 1076,15 1076,15 9868,833575 9863,452825 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-12 9,1525 9,1475 1076,72 1076,72 9854,6798 9849,2962 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-13 9,1495 9,1445 1075,67 1075,67 9841,842665 9836,464315 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-14 9,1685 9,1635 1079,81 1079,81 9900,237985 9894,838935 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-15 9,1925 9,1875 1075,29 1075,29 9884,603325 9879,226875 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-18 9,1805 9,1755 1059,11 1059,11 9723,159355 9717,863805 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-19 9,2035 9,1985 1036,73 1036,73 9541,544555 9536,360905 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-20 9,1915 9,1865 1045,84 1045,84 9612,83836 9607,60916 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-21 9,1855 9,1805 1048,59 1048,59 9631,823445 9626,580495 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-22 9,1625 9,1575 1050,07 1050,07 9621,266375 9616,016025 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-25 9,1685 9,1635 1054 1054 9663,599 9658,329 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-26 9,1375 9,1325 1051,9 1051,9 9611,73625 9606,47675 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-27 9,1465 9,1415 1046,23 1046,23 9569,342695 9564,111545 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-28 9,1505 9,1455 1027,49 1027,49 9402,047245 9396,909795 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-04-29 9,1705 9,1655 1019,16 1019,16 9346,20678 9341,11098 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-02 9,1935 9,1885 1019,39 1019,39 9371,761965 9366,665015 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-03 9,2245 9,2195 1029,4 1029,4 9495,7003 9490,5533 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-04 9,1915 9,1865 1029,13 1029,13 9459,248395 9454,102745 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-06 9,1715 9,1665 1030,26 1030,26 9449,02959 9443,87829 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-09 9,1815 9,1765 1037,25 1037,25 9523,510875 9518,324625 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-10 9,1985 9,1935 1037,84 1037,84 9546,57124 9541,38204 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-11 9,2105 9,2055 1032,24 1032,24 9507,44652 9502,28532 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-12 9,2315 9,2265 1033,06 1033,06 9536,69339 9531,52809 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-13 9,2045 9,1995 1036,35 1036,35 9539,083575 9533,901825 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-17 9,2325 9,2275 1037,26 1037,26 9576,50295 9571,31665 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-18 9,2095 9,2045 1037,52 1037,52 9555,04044 9549,85284 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-19 9,1905 9,1855 1047,05 1047,05 9622,913025 9617,677775 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-20 9,1955 9,1905 1054,07 1054,07 9692,700685 9687,430335 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-23 9,1805 9,1755 1055,6 1055,6 9690,9358 9685,6578 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-24 9,1815 9,1765 1056,77 1056,77 9702,733755 9697,449905 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-25 9,1785 9,1735 1059,03 1059,03 9720,306855 9715,011705 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-26 9,1945 9,1895 1062,8 1062,8 9771,9146 9766,6006 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-27 9,1955 9,1905 1073,12 1073,12 9867,87496 9862,50936 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-30 9,1905 9,1855 1074,57 1074,57 9875,835585 9870,462735 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-05-31 9,1665 9,1615 1076,39 1076,39 9866,728935 9861,346985 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-01 9,1455 9,1405 1076,82 1076,82 9848,05731 9842,67321 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-02 9,1565 9,1515 1084,65 1084,65 9931,597725 9926,174475 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-03 9,1315 9,1265 1083,89 1083,89 9897,541535 9892,122085 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-07 9,1455 9,1405 1083,14 1083,14 9905,85687 9900,44117 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-08 9,1455 9,1405 1092,78 1092,78 9994,01949 9988,55559 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-09 9,1965 9,1915 1096,51 1096,51 10084,054215 10078,571665 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-10 9,1975 9,1925 1099,59 1099,59 10113,479025 10107,981075 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-13 9,2365 9,2315 1109,21 1109,21 10245,218165 10239,672115 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-14 9,2985 9,2935 1116,11 1116,11 10378,148835 10372,568285 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-15 9,2695 9,2645 1119,06 1119,06 10373,12667 10367,53137 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-16 9,2695 9,2645 1117,63 1117,63 10359,871285 10354,283135 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-17 9,2695 9,2645 1122,56 1122,56 10405,56992 10399,95712 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-20 9,2255 9,2205 1123,29 1123,29 10362,911895 10357,295445 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-21 9,2725 9,2675 1121,67 1121,67 10400,685075 10395,076725 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-22 9,2615 9,2565 1123,58 1123,58 10406,03617 10400,41827 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-27 9,3855 9,3805 1119,58 1119,58 10507,81809 10502,22019 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-28 9,3995 9,3945 1111,48 1111,48 10447,35626 10441,79886 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-29 9,4215 9,4165 1118,82 1118,82 10540,96263 10535,36853 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-06-30 9,4415 9,4365 1122,64 1122,64 10599,40556 10593,79236 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-01 9,4595 9,4545 1121,27 1121,27 10606,653565 10601,047215 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-04 9,4795 9,4745 1128,99 1128,99 10702,260705 10696,615755 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-05 9,4575 9,4525 1133,46 1133,46 10719,69795 10714,03065 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-06 9,4195 9,4145 1135,57 1135,57 10696,501615 10690,823765 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-07 9,3965 9,3915 1141 1141 10721,4065 10715,7015 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-08 9,4175 9,4125 1129,3 1129,3 10635,18275 10629,53625 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-11 9,4665 9,4615 1143,4 1143,4 10823,9961 10818,2791 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-12 9,4645 9,4595 1153,81 1153,81 10920,234745 10914,465695 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-13 9,3915 9,3865 1149,98 1149,98 10800,03717 10794,28727 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-14 9,3675 9,3625 1152,67 1152,67 10797,636225 10791,872875 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-15 9,4055 9,4005 1156 1156 10872,758 10866,978 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-18 9,3895 9,3845 1156,1 1156,1 10855,20095 10849,42045 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-19 9,4425 9,4375 1158,38 1158,38 10938,00315 10932,21125 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-20 9,4265 9,4215 1157,33 1157,33 10909,571245 10903,784595 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-21 9,4625 9,4575 1160,55 1160,55 10981,704375 10975,901625 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-22 9,4495 9,4445 1162,75 1162,75 10987,406125 10981,592375 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-25 9,4275 9,4225 1168,76 1168,76 11018,4849 11012,6411 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-26 9,4155 9,4105 1172,01 1172,01 11035,060155 11029,200105 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-27 9,4725 9,4675 1179,03 1179,03 11168,361675 11162,466525 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-28 9,4515 9,4465 1189,25 1189,25 11240,196375 11234,250125 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-07-29 9,3885 9,3835 1192,75 1192,75 11198,133375 11192,169625 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-01 9,3985 9,3935 1197,06 1197,06 11250,56841 11244,58311 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-02 9,3995 9,3945 1199,99 1199,99 11279,306005 11273,306055 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-03 9,3755 9,3705 1209,99 1209,99 11344,261245 11338,211295 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-04 9,3735 9,3685 1212,33 1212,33 11363,775255 11357,713605 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-05 9,3355 9,3305 1207,99 1207,99 11277,190645 11271,150695 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-08 9,3335 9,3285 1198,11 1198,11 11182,559685 11176,569135 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-09 9,3455 9,3405 1197,43 1197,43 11190,582065 11184,594915 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-10 9,3535 9,3485 1198,18 1198,18 11207,17663 11201,18573 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-11 9,3365 9,3315 1204,13 1204,13 11242,359745 11236,339095 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-12 9,3025 9,2975 1204,46 1204,46 11204,48915 11198,46685 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-16 9,2995 9,2945 1200,61 1200,61 11165,072695 11159,069645 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-17 9,3405 9,3355 1200,06 1200,06 11209,16043 11203,16013 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-18 9,3365 9,3315 1197,55 1197,55 11180,925575 11174,937825 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-19 9,3395 9,3345 1196,94 1196,94 11178,82113 11172,83643 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-22 9,3655 9,3605 1202,47 1202,47 11261,732785 11255,720435 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-23 9,3715 9,3665 1206,73 1206,73 11308,870195 11302,836545 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-24 9,3365 9,3315 1204,37 1204,37 11244,600505 11238,578655 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-25 9,3335 9,3285 1203,19 1203,19 11229,973865 11223,957915 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-26 9,3415 9,3365 1197,37 1197,37 11185,231855 11179,245005 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-29 9,3295 9,3245 1198,95 1198,95 11185,604025 11179,609275 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-30 9,3285 9,3235 1199 1199 11184,8715 11178,8765 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-08-31 9,3585 9,3535 1201,61 1201,61 11245,267185 11239,259135 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-01 9,3365 9,3315 1214,51 1214,51 11339,272615 11333,200065 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-02 9,3025 9,2975 1224,89 1224,89 11394,539225 11388,414775 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-05 9,2845 9,2795 1224,81 1224,81 11371,748445 11365,624395 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-06 9,3225 9,3175 1224,83 1224,83 11418,477675 11412,353525 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-07 9,3075 9,3025 1230,14 1230,14 11449,52805 11443,37735 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-08 9,3255 9,3205 1236,38 1236,38 11529,86169 11523,67979 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-09 9,3445 9,3395 1235,91 1235,91 11548,960995 11542,781445 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-12 9,3015 9,2965 1242,69 1242,69 11558,881035 11552,667585 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-13 9,3015 9,2965 1249,92 1249,92 11626,13088 11619,88128 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-14 9,3365 9,3315 1243,41 1243,41 11609,097465 11602,880415 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-15 9,3425 9,3375 1245,05 1245,05 11631,879625 11625,654375 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-16 9,3465 9,3415 1244,33 1244,33 11630,130345 11623,908695 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-19 9,3355 9,3305 1248,85 1248,85 11658,639175 11652,394925 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-20 9,3395 9,3345 1254,55 1254,55 11716,869725 11710,596975 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-21 9,3405 9,3355 1257,56 1257,56 11746,23918 11739,95138 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-22 9,3405 9,3355 1252,4 1252,4 11698,0422 11691,7802 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-23 9,3695 9,3645 1245,1 1245,1 11665,96445 11659,73895 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-26 9,3815 9,3765 1247,11 1247,11 11699,762465 11693,526915 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-27 9,3885 9,3835 1255,87 1255,87 11790,735495 11784,456145 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-28 9,3935 9,3885 1255,26 1255,26 11791,28481 11785,00851 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-29 9,3845 9,3795 1255,71 1255,71 11784,210495 11777,931945 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-09-30 9,3435 9,3385 1255,89 1255,89 11734,408215 11728,128765 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-03 9,3025 9,2975 1263,56 1263,56 11754,2669 11747,9491 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-04 9,3185 9,3135 1270,15 1270,15 11835,892775 11829,542025 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-05 9,3105 9,3055 1274,25 1274,25 11863,904625 11857,533375 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-06 9,3015 9,2965 1266,02 1266,02 11775,88503 11769,55493 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-07 9,3385 9,3335 1246,42 1246,42 11639,69317 11633,46107 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-10 9,3465 9,3415 1243,66 1243,66 11623,86819 11617,64989 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-11 9,3395 9,3345 1249,15 1249,15 11666,436425 11660,190675 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-12 9,3375 9,3325 1250,73 1250,73 11678,691375 11672,437725 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-13 9,3815 9,3765 1243,76 1243,76 11668,33444 11662,11564 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-14 9,4135 9,4085 1217,96 1217,96 11465,26646 11459,17666 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-17 9,4575 9,4525 1210,46 1210,46 11447,92545 11441,87315 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-18 9,4625 9,4575 1211,31 1211,31 11462,020875 11455,964325 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-19 9,4605 9,4555 1202,22 1202,22 11373,60231 11367,59121 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-20 9,4935 9,4885 1173,55 1173,55 11141,096925 11135,229175 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-21 9,4915 9,4865 1184,21 1184,21 11239,929215 11234,008165 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-24 9,5455 9,5405 1172,32 1172,32 11190,38056 11184,51896 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-25 9,5465 9,5415 1190,52 1190,52 11365,29918 11359,34658 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-26 9,4975 9,4925 1190,88 1190,88 11310,3828 11304,4284 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-27 9,5355 9,5305 1194,95 1194,95 11394,445725 11388,470975 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-28 9,5135 9,5085 1170,82 1170,82 11138,59607 11132,74197 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-10-31 9,5495 9,5445 1168,13 1168,13 11155,057435 11149,216785 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-02 9,5855 9,5805 1189,03 1189,03 11397,447065 11391,501915 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-03 9,6515 9,6465 1193,1 1193,1 11515,20465 11509,23915 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-04 9,5875 9,5825 1206,57 1206,57 11567,989875 11561,957025 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-07 9,6075 9,6025 1204,97 1204,97 11576,749275 11570,724425 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-08 9,5685 9,5635 1211,33 1211,33 11590,611105 11584,554455 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-09 9,5575 9,5525 1213,25 1213,25 11595,636875 11589,570625 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-10 9,6105 9,6055 1210,99 1210,99 11638,219395 11632,164445 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-11 9,6365 9,6315 1208,89 1208,89 11649,468485 11643,424035 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-14 9,5505 9,5455 1212,18 1212,18 11576,92509 11570,86419 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-15 9,5805 9,5755 1213,99 1213,99 11630,631195 11624,561245 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-16 9,6235 9,6185 1214,51 1214,51 11687,836985 11681,764435 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-17 9,6355 9,6305 1205,7 1205,7 11617,52235 11611,49385 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-18 9,6085 9,6035 1207,25 1207,25 11599,861625 11593,825375 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-21 9,5915 9,5865 1209,72 1209,72 11603,02938 11596,98078 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-22 9,5585 9,5535 1214,69 1214,69 11610,614365 11604,540915 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-23 9,5155 9,5105 1215,7 1215,7 11567,99335 11561,91485 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-24 9,5125 9,5075 1218,93 1218,93 11595,071625 11588,976975 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-25 9,4965 9,4915 1214,08 1214,08 11529,51072 11523,44032 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-28 9,4835 9,4785 1219,79 1219,79 11567,878465 11561,779515 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-29 9,4785 9,4735 1215,79 1215,79 11523,865515 11517,786565 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-11-30 9,5295 9,5245 1217,54 1217,54 11602,54743 11596,45973 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-01 9,5165 9,5115 1223,68 1223,68 11645,15072 11639,03232 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-02 9,4905 9,4855 1233,3 1233,3 11704,63365 11698,46715 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-05 9,4065 9,4015 1243,32 1243,32 11695,28958 11689,07298 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-06 9,4185 9,4135 1239,14 1239,14 11670,84009 11664,64439 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-07 9,4255 9,4205 1241,77 1241,77 11704,303135 11698,094285 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-08 9,3965 9,3915 1246,14 1246,14 11709,35451 11703,12381 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-12 9,4315 9,4265 1247,57 1247,57 11766,456455 11760,218605 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-13 9,4295 9,4245 1245,95 1245,95 11748,685525 11742,455775 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-14 9,4365 9,4315 1247,39 1247,39 11770,995735 11764,758785 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-15 9,4345 9,4295 1241,91 1241,91 11716,799895 11710,590345 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-16 9,4765 9,4715 1239,54 1239,54 11746,50081 11740,30311 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-19 9,4535 9,4485 1228,78 1228,78 11616,27173 11610,12783 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-20 9,4015 9,3965 1227,82 1227,82 11543,34973 11537,21063 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-21 9,4485 9,4435 1232,56 1232,56 11645,84316 11639,68036 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-22 9,4365 9,4315 1237,45 1237,45 11677,196925 11671,009675 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-23 9,4425 9,4375 1238,15 1238,15 11691,231375 11685,040625 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-27 9,4915 9,4865 1245,24 1245,24 11819,19546 11812,96926 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-28 9,4345 9,4295 1250,5 1250,5 11797,84225 11791,58975 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-29 9,4115 9,4065 1249,89 1249,89 11763,339735 11757,090285 920371 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Europe EUR 2005-12-30 9,4325 9,4275 1255,31 1255,31 11840,711575 11834,435025 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-03 0,0649 0,0648 84847 84847 5506,5703 5498,0856 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-04 0,06545 0,06535 85589 85589 5601,80005 5593,24115 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-05 0,0653 0,0652 85505 85505 5583,4765 5574,926 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-07 0,06565 0,06555 86413 86413 5673,01345 5664,37215 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-10 0,06651 0,06641 86407 86407 5746,92957 5738,28887 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-11 0,06651 0,06641 87194 87194 5799,27294 5790,55354 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-12 0,06685 0,06675 86745 86745 5798,90325 5790,22875 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-13 0,06685 0,06675 87082 87082 5821,4317 5812,7235 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-14 0,0672 0,0671 87202 87202 5859,9744 5851,2542 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-17 0,0679 0,0678 88053 88053 5978,7987 5969,9934 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-18 0,0679 0,0678 88034 88034 5977,5086 5968,7052 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-19 0,06745 0,06735 88653 88653 5979,64485 5970,77955 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-20 0,06765 0,06755 88341 88341 5976,26865 5967,43455 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-21 0,06725 0,06715 88576 88576 5956,736 5947,8784 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-24 0,06745 0,06735 89073 89073 6007,97385 5999,06655 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-25 0,0674 0,0673 89225 89225 6013,765 6004,8425 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-26 0,06755 0,06745 90053 90053 6083,08015 6074,07485 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-27 0,0672 0,0671 89751 89751 6031,2672 6022,2921 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-28 0,0677 0,0676 89520 89520 6060,504 6051,552 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-01-31 0,0676 0,0675 90315 90315 6105,294 6096,2625 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-01 0,06725 0,06715 90495 90495 6085,78875 6076,73925 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-02 0,0671 0,067 91412 91412 6133,7452 6124,604 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-03 0,06695 0,06685 91148 91148 6102,3586 6093,2438 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-04 0,0671 0,067 91017 91017 6107,2407 6098,139 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-07 0,0677 0,0676 91010 91010 6161,377 6152,276 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-08 0,06765 0,06755 91421 91421 6184,63065 6175,48855 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-09 0,06725 0,06715 91713 91713 6167,69925 6158,52795 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-10 0,06715 0,06705 91924 91924 6172,6966 6163,5042 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-11 0,06695 0,06685 91917 91917 6153,84315 6144,65145 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-14 0,0671 0,067 92216 92216 6187,6936 6178,472 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-15 0,0667 0,0666 91728 91728 6118,2576 6109,0848 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-16 0,06635 0,06625 90879 90879 6029,82165 6020,73375 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-17 0,06615 0,06605 90731 90731 6001,85565 5992,78255 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-18 0,06615 0,06605 90803 90803 6006,61845 5997,53815 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-21 0,06605 0,06595 92454 92454 6106,5867 6097,3413 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-22 0,06605 0,06595 92461 92461 6107,04905 6097,80295 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-23 0,0658 0,0657 92122 92122 6061,6276 6052,4154 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-24 0,0655 0,0654 92007 92007 6026,4585 6017,2578 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-25 0,06545 0,06535 92799 92799 6073,69455 6064,41465 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-02-28 0,06545 0,06535 94095 94095 6158,51775 6149,10825 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-01 0,06565 0,06555 94114 94114 6178,5841 6169,1727 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-02 0,06585 0,06575 94580 94580 6228,093 6218,635 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-03 0,06575 0,06565 94383 94383 6205,68225 6196,24395 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-04 0,06545 0,06535 94642 94642 6194,3189 6184,8547 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-07 0,0652 0,0651 94855 94855 6184,546 6175,0605 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-08 0,06505 0,06495 94507 94507 6147,68035 6138,22965 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-09 0,06465 0,06455 94824 94824 6130,3716 6120,8892 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-10 0,06485 0,06475 94823 94823 6149,27155 6139,78925 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-11 0,065 0,0649 95168 95168 6185,92 6176,4032 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-14 0,0647 0,0646 95647 95647 6188,3609 6178,7962 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-15 0,06505 0,06495 95358 95358 6203,0379 6193,5021 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-16 0,06535 0,06525 95622 95622 6248,8977 6239,3355 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-17 0,0652 0,0651 95620 95620 6234,424 6224,862 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-18 0,0652 0,0651 96676 96676 6303,2752 6293,6076 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-21 0,0657 0,0656 96660 96660 6350,562 6340,896 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-22 0,06595 0,06585 97239 97239 6412,91205 6403,18815 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-23 0,06615 0,06605 96991 96991 6415,95465 6406,25555 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-24 0,0659 0,0658 97484 97484 6424,1956 6414,4472 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-29 0,06595 0,06585 96444 96444 6360,4818 6350,8374 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-30 0,06575 0,06565 95087 95087 6251,97025 6242,46155 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-03-31 0,06595 0,06585 95102 95102 6271,9769 6262,4667 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-01 0,06585 0,06575 96175 96175 6333,12375 6323,50625 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-04 0,06595 0,06585 95772 95772 6316,1634 6306,5862 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-05 0,06585 0,06575 95823 95823 6309,94455 6300,36225 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-06 0,06595 0,06585 95653 95653 6308,31535 6298,75005 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-07 0,06545 0,06535 95823 95823 6271,61535 6262,03305 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-08 0,0658 0,0657 96023 96023 6318,3134 6308,7111 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-11 0,06555 0,06545 95109 95109 6234,39495 6224,88405 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-12 0,06545 0,06535 94215 94215 6166,37175 6156,95025 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-13 0,0659 0,0658 94058 94058 6198,4222 6189,0164 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-14 0,06615 0,06605 93333 93333 6173,97795 6164,64465 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-15 0,06625 0,06615 92400 92400 6121,5 6112,26 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-18 0,0658 0,0657 89010 89010 5856,858 5847,957 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-19 0,06595 0,06585 90841 90841 5990,96395 5981,87985 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-20 0,0659 0,0658 92130 92130 6071,367 6062,154 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-21 0,0657 0,0656 91638 91638 6020,6166 6011,4528 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-22 0,06585 0,06575 92415 92415 6085,52775 6076,28625 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-25 0,0666 0,0665 92486 92486 6159,5676 6150,319 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-26 0,0664 0,0663 92643 92643 6151,4952 6142,2309 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-27 0,06675 0,06665 93026 93026 6209,4855 6200,1829 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-04-28 0,0669 0,0668 93079 93079 6226,9851 6217,6772 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-03 0,06825 0,06815 93487 93487 6380,48775 6371,13905 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-04 0,0679 0,0678 93487 93487 6347,7673 6338,4186 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-06 0,0677 0,0676 94982 94982 6430,2814 6420,7832 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-09 0,06805 0,06795 95329 95329 6487,13845 6477,60555 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-10 0,0678 0,0677 95255 95255 6458,289 6448,7635 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-11 0,06765 0,06755 95247 95247 6443,45955 6433,93485 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-12 0,06815 0,06805 95213 95213 6488,76595 6479,24465 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-13 0,068 0,0679 94560 94560 6430,08 6420,624 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-17 0,06825 0,06815 90455 90455 6173,55375 6164,50825 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-18 0,06785 0,06775 91075 91075 6179,43875 6170,33125 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-19 0,06775 0,06765 92450 92450 6263,4875 6254,2425 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-20 0,0677 0,0676 92678 92678 6274,3006 6265,0328 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-23 0,06775 0,06765 92861 92861 6291,33275 6282,04665 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-24 0,0679 0,0678 92452 92452 6277,4908 6268,2456 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-25 0,06795 0,06785 91481 91481 6216,13395 6206,98585 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-26 0,06785 0,06775 90983 90983 6173,19655 6164,09825 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-27 0,06805 0,06795 91504 91504 6226,8472 6217,6968 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-30 0,068 0,0679 91820 91820 6243,76 6234,578 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-05-31 0,06835 0,06825 93114 93114 6364,3419 6355,0305 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-01 0,06855 0,06845 92958 92958 6372,2709 6362,9751 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-02 0,069 0,0689 93272 93272 6435,768 6426,4408 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-03 0,06895 0,06885 93737 93737 6463,16615 6453,79245 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-07 0,06975 0,06965 93978 93978 6554,9655 6545,5677 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-08 0,0696 0,0695 94182 94182 6555,0672 6545,649 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-09 0,0702 0,0701 93405 93405 6557,031 6547,6905 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-10 0,0701 0,07 94084 94084 6595,2884 6585,88 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-13 0,07035 0,07025 94359 94359 6638,15565 6628,71975 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-14 0,0701 0,07 94005 94005 6589,7505 6580,35 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-15 0,07045 0,07035 94258 94258 6640,4761 6631,0503 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-16 0,07025 0,07015 94518 94518 6639,8895 6630,4377 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-17 0,0702 0,0701 95075 95075 6674,265 6664,7575 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-20 0,06935 0,06925 94767 94767 6572,09145 6562,61475 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-21 0,06995 0,06985 95064 95064 6649,7268 6640,2204 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-22 0,07015 0,07005 95416 95416 6693,4324 6683,8908 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-27 0,07085 0,07075 96198 96198 6815,6283 6806,0085 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-28 0,0707 0,0706 96391 96391 6814,8437 6805,2046 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-29 0,0711 0,071 97001 97001 6896,7711 6887,071 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-06-30 0,0709 0,0708 97597 97597 6919,6273 6909,8676 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-01 0,07065 0,07055 97771 97771 6907,52115 6897,74405 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-04 0,07125 0,07115 99057 99057 7057,81125 7047,90555 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-05 0,07115 0,07105 98895 98895 7036,37925 7026,48975 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-06 0,07075 0,07065 99354 99354 7029,2955 7019,3601 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-07 0,07025 0,07015 99711 99711 7004,69775 6994,72665 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-08 0,07045 0,07035 99653 99653 7020,55385 7010,58855 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-11 0,0705 0,0704 99888 99888 7042,104 7032,1152 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-12 0,0699 0,0698 99920 99920 6984,408 6974,416 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-13 0,06915 0,06905 100298 100298 6935,6067 6925,5769 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-14 0,0694 0,0693 100653 100653 6985,3182 6975,2529 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-15 0,0694 0,0693 100388 100388 6966,9272 6956,8884 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-19 0,06995 0,06985 100764 100764 7048,4418 7038,3654 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-20 0,0691 0,069 100896 100896 6971,9136 6961,824 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-21 0,06925 0,06915 101018 101018 6995,4965 6985,3947 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-22 0,06995 0,06985 100785 100785 7049,91075 7039,83225 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-25 0,07005 0,06995 101813 101813 7132,00065 7121,81935 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-26 0,06995 0,06985 101209 101209 7079,56955 7069,44865 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-27 0,07015 0,07005 101753 101753 7137,97295 7127,79765 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-28 0,0697 0,0696 102076 102076 7114,6972 7104,4896 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-07-29 0,06915 0,06905 102466 102466 7085,5239 7075,2773 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-01 0,0689 0,0688 102264 102264 7045,9896 7035,7632 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-02 0,0691 0,069 101710 101710 7028,161 7017,99 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-03 0,06885 0,06875 100436 100436 6915,0186 6904,975 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-04 0,0686 0,0685 99287 99287 6811,0882 6801,1595 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-05 0,0678 0,0677 97907 97907 6638,0946 6628,3039 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-08 0,0674 0,0673 98039 98039 6607,8286 6598,0247 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-09 0,06745 0,06735 100018 100018 6746,2141 6736,2123 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-10 0,06805 0,06795 100943 100943 6869,17115 6859,07685 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-11 0,06825 0,06815 101163 101163 6904,37475 6894,25845 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-12 0,06805 0,06795 100559 100559 6843,03995 6832,98405 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-16 0,06895 0,06885 101017 101017 6965,12215 6955,02045 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-17 0,06915 0,06905 101138 101138 6993,6927 6983,5789 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-18 0,0691 0,069 101292 101292 6999,2772 6989,148 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-19 0,06965 0,06955 101092 101092 7041,0578 7030,9486 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-22 0,07 0,0699 101181 101181 7082,67 7072,5519 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-23 0,06965 0,06955 100828 100828 7022,6702 7012,5874 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-24 0,0694 0,0693 100716 100716 6989,6904 6979,6188 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-25 0,06905 0,06895 100190 100190 6918,1195 6908,1005 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-26 0,069 0,0689 100602 100602 6941,538 6931,4778 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-29 0,0687 0,0686 100583 100583 6910,0521 6899,9938 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-30 0,0688 0,0687 101634 101634 6992,4192 6982,2558 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-08-31 0,0688 0,0687 102177 102177 7029,7776 7019,5599 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-01 0,06825 0,06815 102838 102838 7018,6935 7008,4097 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-02 0,0678 0,0677 103156 103156 6993,9768 6983,6612 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-05 0,06775 0,06765 103613 103613 7019,78075 7009,41945 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-06 0,06825 0,06815 103033 103033 7032,00225 7021,69895 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-07 0,0678 0,0677 103352 103352 7007,2656 6996,9304 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-08 0,068 0,0679 102712 102712 6984,416 6974,1448 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-09 0,0681 0,068 102886 102886 7006,5366 6996,248 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-12 0,06875 0,06865 103941 103941 7145,94375 7135,54965 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-13 0,0685 0,0684 104495 104495 7157,9075 7147,458 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-14 0,0688 0,0687 105282 105282 7243,4016 7232,8734 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-15 0,06925 0,06915 106331 106331 7363,42175 7352,78865 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-16 0,0688 0,0687 106533 106533 7329,4704 7318,8171 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-20 0,0691 0,069 107012 107012 7394,5292 7383,828 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-21 0,06865 0,06855 106044 106044 7279,9206 7269,3162 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-22 0,06875 0,06865 105944 105944 7283,65 7273,0556 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-26 0,06935 0,06925 106991 106991 7419,82585 7409,12675 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-27 0,0693 0,0692 106219 106219 7360,9767 7350,3548 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-28 0,06915 0,06905 106600 106600 7371,39 7360,73 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-29 0,06895 0,06885 106415 106415 7337,31425 7326,67275 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-09-30 0,06865 0,06855 107116 107116 7353,5134 7342,8018 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-03 0,06835 0,06825 107873 107873 7373,11955 7362,33225 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-04 0,0685 0,0684 108155 108155 7408,6175 7397,802 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-05 0,06845 0,06835 108461 108461 7424,15545 7413,30935 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-06 0,06785 0,06775 107362 107362 7284,5117 7273,7755 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-07 0,06775 0,06765 107522 107522 7284,6155 7273,8633 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-11 0,0681 0,068 108459 108459 7386,0579 7375,212 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-12 0,0681 0,068 109063 109063 7427,1903 7416,284 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-13 0,0682 0,0681 109231 109231 7449,5542 7438,6311 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-14 0,0684 0,0683 109863 109863 7514,6292 7503,6429 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-17 0,0686 0,0685 110653 110653 7590,7958 7579,7305 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-18 0,0684 0,0683 110728 110728 7573,7952 7562,7224 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-19 0,06865 0,06855 109824 109824 7539,4176 7528,4352 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-20 0,0686 0,0685 110618 110618 7588,3948 7577,333 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-21 0,06845 0,06835 110571 110571 7568,58495 7557,52785 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-24 0,0692 0,0691 110156 110156 7622,7952 7611,7796 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-25 0,0691 0,069 111102 111102 7677,1482 7666,038 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-26 0,06825 0,06815 111783 111783 7629,18975 7618,01145 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-27 0,06825 0,06815 112341 112341 7667,27325 7656,03915 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-28 0,06795 0,06785 113033 113033 7680,59235 7669,28905 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-10-31 0,0684 0,0683 114178 114178 7809,7752 7798,3574 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-02 0,06825 0,06815 114946 114946 7845,0645 7833,5699 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-04 0,06825 0,06815 116054 116054 7920,6855 7909,0801 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-07 0,069 0,0689 117039 117039 8075,691 8063,9871 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-08 0,0693 0,0692 117272 117272 8126,9496 8115,2224 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-09 0,0692 0,0691 117147 117147 8106,5724 8094,8577 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-10 0,06945 0,06935 116779 116779 8110,30155 8098,62365 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-11 0,0699 0,0698 118097 118097 8254,9803 8243,1706 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-14 0,0689 0,0688 118055 118055 8133,9895 8122,184 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-15 0,0689 0,0688 117388 117388 8088,0332 8076,2944 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-16 0,06895 0,06885 117462 117462 8099,0049 8087,2587 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-17 0,06955 0,06945 118704 118704 8255,8632 8243,9928 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-18 0,0689 0,0688 119008 119008 8199,6512 8187,7504 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-21 0,0682 0,0681 119754 119754 8167,2228 8155,2474 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-22 0,06845 0,06835 120554 120554 8251,9213 8239,8659 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-24 0,06785 0,06775 120728 120728 8191,3948 8179,322 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-25 0,06775 0,06765 120760 120760 8181,49 8169,414 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-28 0,0677 0,0676 122083 122083 8265,0191 8252,8108 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-29 0,06735 0,06725 122691 122691 8263,23885 8250,96975 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-11-30 0,0677 0,0676 123892 123892 8387,4884 8375,0992 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-01 0,06745 0,06735 124706 124706 8411,4197 8398,9491 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-02 0,0672 0,0671 125621 125621 8441,7312 8429,1691 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-05 0,06635 0,06625 127871 127871 8484,24085 8471,45375 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-06 0,066 0,0659 128433 128433 8476,578 8463,7347 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-07 0,06635 0,06625 127619 127619 8467,52065 8454,75875 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-08 0,06635 0,06625 125015 125015 8294,74525 8282,24375 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-12 0,06595 0,06585 128219 128219 8456,04305 8443,22115 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-13 0,06585 0,06575 128523 128523 8463,23955 8450,38725 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-14 0,0662 0,0661 128405 128405 8500,411 8487,5705 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-15 0,06745 0,06735 128197 128197 8646,88765 8634,06795 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-16 0,06805 0,06795 128678 128678 8756,5379 8743,6701 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-19 0,06765 0,06755 130234 130234 8810,3301 8797,3067 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-20 0,06735 0,06725 132290 132290 8909,7315 8896,5025 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-21 0,06795 0,06785 132309 132309 8990,39655 8977,16565 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-22 0,06795 0,06785 133026 133026 9039,1167 9025,8141 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-23 0,06825 0,06815 136243 136243 9298,58475 9284,96045 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-27 0,06855 0,06845 136243 136243 9339,45765 9325,83335 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-28 0,06765 0,06755 138062 138062 9339,8943 9326,0881 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-29 0,0674 0,0673 140073 140073 9440,9202 9426,9129 214692 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap Japan JPY 2005-12-30 0,06785 0,06775 140762 140762 9550,7017 9536,6255 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-03 6,668 6,658 2920,18 2920,18 19471,76024 19442,55844 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-04 6,728 6,718 2865,26 2865,26 19277,46928 19248,81668 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-05 6,828 6,818 2822,03 2822,03 19268,82084 19240,60054 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-07 6,87 6,86 2790,51 2790,51 19170,8037 19142,8986 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-10 6,96091 6,95091 2764,42 2764,42 19242,8788222 19215,2346222 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-11 6,96091 6,95091 2778,33 2778,33 19339,7050803 19311,9217803 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-12 6,913 6,903 2757,19 2757,19 19060,45447 19032,88257 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-13 6,843 6,833 2772,75 2772,75 18973,92825 18946,20075 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-14 6,915 6,905 2759,43 2759,43 19081,45845 19053,86415 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-17 6,915 6,905 2795,39 2795,39 19330,12185 19302,16795 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-18 6,968 6,958 2795,23 2795,23 19477,16264 19449,21034 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-19 6,91 6,9 2819,64 2819,64 19483,7124 19455,516 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-20 6,96 6,95 2786,09 2786,09 19391,1864 19363,3255 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-21 6,978 6,968 2760,93 2760,93 19265,76954 19238,16024 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-24 6,933 6,923 2749,57 2749,57 19062,76881 19035,27311 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-25 6,95 6,94 2711,09 2711,09 18842,0755 18814,9646 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-26 6,995 6,985 2724,91 2724,91 19060,74545 19033,49635 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-27 6,93 6,92 2775,72 2775,72 19235,7396 19207,9824 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-28 6,985 6,975 2782,22 2782,22 19433,8067 19405,9845 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-01-31 6,998 6,988 2754,83 2754,83 19278,30034 19250,75204 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-01 6,993 6,983 2791,21 2791,21 19518,93153 19491,01943 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-02 6,953 6,943 2817,23 2817,23 19588,20019 19560,02789 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-03 6,968 6,958 2836,28 2836,28 19763,19904 19734,83624 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-04 7,01 7 2827,54 2827,54 19821,0554 19792,78 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-07 7,065 7,055 2858,42 2858,42 20194,7373 20166,1531 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-08 7,123 7,113 2856,89 2856,89 20349,62747 20321,05857 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-09 7,1 7,09 2865,55 2865,55 20345,405 20316,7495 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-10 7,088 7,078 2816,66 2816,66 19964,48608 19936,31948 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-11 7,068 7,058 2821,05 2821,05 19939,1814 19910,9709 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-14 7,03 7,02 2854,71 2854,71 20068,6113 20040,0642 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-15 7,005 6,995 2859,26 2859,26 20029,1163 20000,5237 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-16 6,973 6,963 2866,05 2866,05 19984,96665 19956,30615 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-17 6,97 6,96 2884,53 2884,53 20105,1741 20076,3288 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-18 6,965 6,955 2864,72 2864,72 19952,7748 19924,1276 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-21 6,978 6,968 2862,07 2862,07 19971,52446 19942,90376 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-22 6,905 6,895 2861,91 2861,91 19761,48855 19732,86945 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-23 6,895 6,885 2823,24 2823,24 19466,2398 19438,0074 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-24 6,858 6,848 2824,68 2824,68 19371,65544 19343,40864 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-25 6,885 6,875 2849,82 2849,82 19621,0107 19592,5125 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-02-28 6,828 6,818 2893,83 2893,83 19759,07124 19730,13294 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-01 6,87 6,86 2890,94 2890,94 19860,7578 19831,8484 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-02 6,888 6,878 2897,56 2897,56 19958,39328 19929,41768 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-03 6,903 6,893 2895,83 2895,83 19989,91449 19960,95619 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-04 6,9 6,89 2901,16 2901,16 20018,004 19988,9924 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-07 6,84 6,83 2924,76 2924,76 20005,3584 19976,1108 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-08 6,825 6,815 2926,29 2926,29 19971,92925 19942,66635 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-09 6,76 6,75 2906,7 2906,7 19649,292 19620,225 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-10 6,745 6,735 2892,63 2892,63 19510,78935 19481,86305 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-11 6,765 6,755 2878,35 2878,35 19472,03775 19443,25425 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-14 6,76 6,75 2875,92 2875,92 19441,2192 19412,46 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-15 6,815 6,805 2882,39 2882,39 19643,48785 19614,66395 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-16 6,81 6,8 2850,85 2850,85 19414,2885 19385,78 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-17 6,795 6,785 2834,2 2834,2 19258,389 19230,047 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-18 6,828 6,818 2839,72 2839,72 19389,60816 19361,21096 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-21 6,908 6,898 2830,71 2830,71 19554,54468 19526,23758 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-22 6,928 6,918 2831,57 2831,57 19617,11696 19588,80126 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-23 6,973 6,963 2814,58 2814,58 19626,06634 19597,92054 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-24 7,008 6,998 2799,98 2799,98 19622,25984 19594,26004 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-29 7,055 7,045 2802,85 2802,85 19774,10675 19746,07825 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-30 7,053 7,043 2766,35 2766,35 19511,06655 19483,40305 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-03-31 7,065 7,055 2806 2806 19824,39 19796,33 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-01 7,07 7,06 2807,84 2807,84 19851,4288 19823,3504 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-04 7,113 7,103 2793,19 2793,19 19867,96047 19840,02857 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-05 7,163 7,153 2797,31 2797,31 20037,13153 20009,15843 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-06 7,125 7,115 2805,27 2805,27 19987,54875 19959,49605 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-07 7,083 7,073 2809,26 2809,26 19897,98858 19869,89598 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-08 7,153 7,143 2810,57 2810,57 20104,00721 20075,90151 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-11 7,098 7,088 2777,83 2777,83 19717,03734 19689,25904 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-12 7,048 7,038 2755,99 2755,99 19424,21752 19396,65762 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-13 7,075 7,065 2772,97 2772,97 19618,76275 19591,03305 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-14 7,12 7,11 2720,64 2720,64 19370,9568 19343,7504 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-15 7,17 7,16 2672,6 2672,6 19162,542 19135,816 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-18 7,08 7,07 2610,3 2610,3 18480,924 18454,821 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-19 7,068 7,058 2616,3 2616,3 18492,0084 18465,8454 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-20 7,043 7,033 2667,95 2667,95 18790,37185 18763,69235 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-21 7,025 7,015 2631,12 2631,12 18483,618 18457,3068 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-22 7,023 7,013 2695,2 2695,2 18928,3896 18901,4376 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-25 7,04 7,03 2661,35 2661,35 18735,904 18709,2905 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-26 7,035 7,025 2688,19 2688,19 18911,41665 18884,53475 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-27 7,085 7,075 2649,69 2649,69 18773,05365 18746,55675 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-28 7,085 7,075 2641,63 2641,63 18715,94855 18689,53225 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-04-29 7,08 7,07 2599,76 2599,76 18406,3008 18380,3032 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-03 7,178 7,168 2653,34 2653,34 19045,67452 19019,14112 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-04 7,11 7,1 2640,3 2640,3 18772,533 18746,13 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-06 7,085 7,075 2695,9 2695,9 19100,4515 19073,4925 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-09 7,168 7,158 2708,81 2708,81 19416,75008 19389,66198 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-10 7,178 7,168 2730,03 2730,03 19596,15534 19568,85504 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-11 7,15 7,14 2692,01 2692,01 19247,8715 19220,9514 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-12 7,243 7,233 2688,59 2688,59 19473,45737 19446,57147 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-13 7,265 7,255 2647,68 2647,68 19235,3952 19208,9184 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-17 7,313 7,303 2653 2653 19401,389 19374,859 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-18 7,3 7,29 2667,34 2667,34 19471,582 19444,9086 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-19 7,26 7,25 2706,73 2706,73 19650,8598 19623,7925 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-20 7,28 7,27 2720,86 2720,86 19807,8608 19780,6522 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-23 7,32 7,31 2714,18 2714,18 19867,7976 19840,6558 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-24 7,295 7,285 2730,73 2730,73 19920,67535 19893,36805 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-25 7,298 7,288 2728,34 2728,34 19911,42532 19884,14192 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-26 7,33 7,32 2697 2697 19769,01 19742,04 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-27 7,338 7,328 2724,31 2724,31 19990,98678 19963,74368 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-05-30 7,338 7,328 2740,12 2740,12 20107,00056 20079,59936 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-01 7,428 7,418 2741,81 2741,81 20366,16468 20338,74658 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-02 7,473 7,463 2773,45 2773,45 20725,99185 20698,25735 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-03 7,438 7,428 2787,71 2787,71 20734,98698 20707,10988 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-07 7,448 7,438 2790,99 2790,99 20787,29352 20759,38362 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-08 7,435 7,425 2786,03 2786,03 20714,13305 20686,27275 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-09 7,523 7,513 2768,11 2768,11 20824,49153 20796,81043 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-10 7,525 7,515 2801,86 2801,86 21083,9965 21055,9779 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-13 7,643 7,633 2808,27 2808,27 21463,60761 21435,52491 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-14 7,663 7,653 2824,65 2824,65 21645,29295 21617,04645 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-15 7,693 7,683 2838,18 2838,18 21834,11874 21805,73694 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-16 7,678 7,668 2855,75 2855,75 21926,4485 21897,891 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-17 7,643 7,633 2878,62 2878,62 22001,29266 21972,50646 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-20 7,543 7,533 2879,03 2879,03 21716,52329 21687,73299 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-21 7,648 7,638 2863,32 2863,32 21898,67136 21870,03816 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-22 7,608 7,598 2863,81 2863,81 21787,86648 21759,22838 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-27 7,73 7,72 2821,04 2821,04 21806,6392 21778,4288 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-28 7,76 7,75 2815,61 2815,61 21849,1336 21820,9775 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-29 7,833 7,823 2877,46 2877,46 22539,14418 22510,36958 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-06-30 7,823 7,813 2888,79 2888,79 22599,00417 22570,11627 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-01 7,858 7,848 2889,02 2889,02 22701,91916 22673,02896 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-04 7,945 7,935 2904,61 2904,61 23077,12645 23048,08035 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-05 7,963 7,953 2904,61 2904,61 23129,40943 23100,36333 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-06 7,895 7,885 2947,7 2947,7 23272,0915 23242,6145 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-07 7,878 7,868 2932,42 2932,42 23101,60476 23072,28056 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-08 7,913 7,903 2938,32 2938,32 23250,92616 23221,54296 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-11 7,89 7,88 2975 2975 23472,75 23443 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-12 7,77 7,76 3012,86 3012,86 23409,9222 23379,7936 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-13 7,703 7,693 3013,75 3013,75 23214,91625 23184,77875 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-14 7,76 7,75 2995,58 2995,58 23245,7008 23215,745 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-15 7,76 7,75 2966,17 2966,17 23017,4792 22987,8175 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-18 7,78 7,77 2967,43 2967,43 23086,6054 23056,9311 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-19 7,878 7,868 2948,59 2948,59 23228,99202 23199,50612 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-20 7,818 7,808 2983,63 2983,63 23326,01934 23296,18304 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-21 7,775 7,765 3002,57 3002,57 23344,98175 23314,95605 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-22 7,758 7,748 2938,1 2938,1 22793,7798 22764,3988 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-25 7,838 7,828 3000,77 3000,77 23520,03526 23490,02756 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-26 7,818 7,808 2975,22 2975,22 23260,26996 23230,51776 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-27 7,905 7,895 2979,09 2979,09 23549,70645 23519,91555 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-28 7,848 7,838 2984,1 2984,1 23419,2168 23389,3758 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-07-29 7,748 7,738 2982,83 2982,83 23110,96684 23081,13854 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-01 7,72 7,71 2990,9 2990,9 23089,748 23059,839 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-02 7,7 7,69 3007,81 3007,81 23160,137 23130,0589 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-03 7,685 7,675 3027,44 3027,44 23265,8764 23235,602 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-04 7,618 7,608 3014,35 3014,35 22963,3183 22933,1748 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-05 7,548 7,538 2983,77 2983,77 22521,49596 22491,65826 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-08 7,558 7,548 2943,57 2943,57 22247,50206 22218,06636 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-09 7,548 7,538 2931,15 2931,15 22124,3202 22095,0087 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-10 7,558 7,548 2933,49 2933,49 22171,31742 22141,98252 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-11 7,523 7,513 2934,27 2934,27 22074,51321 22045,17051 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-12 7,46 7,45 2955,08 2955,08 22044,8968 22015,346 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-16 7,523 7,513 2954,2 2954,2 22224,4466 22194,9046 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-17 7,605 7,595 2908,11 2908,11 22116,17655 22087,09545 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-18 7,61 7,6 2915,32 2915,32 22185,5852 22156,432 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-19 7,698 7,688 2892,85 2892,85 22269,1593 22240,2308 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-22 7,69 7,68 2900,28 2900,28 22303,1532 22274,1504 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-23 7,663 7,653 2901,59 2901,59 22234,88417 22205,86827 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-24 7,673 7,663 2891,12 2891,12 22183,56376 22154,65256 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-25 7,588 7,578 2880,57 2880,57 21857,76516 21828,95946 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-26 7,578 7,568 2892,45 2892,45 21918,9861 21890,0616 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-29 7,573 7,563 2857,94 2857,94 21643,17962 21614,60022 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-30 7,633 7,623 2881,2 2881,2 21992,1996 21963,3876 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-08-31 7,668 7,658 2868,3 2868,3 21994,1244 21965,4414 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-01 7,568 7,558 2912,14 2912,14 22039,07552 22009,95412 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-02 7,435 7,425 2919,56 2919,56 21706,9286 21677,733 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-05 7,41 7,4 2897,23 2897,23 21468,4743 21439,502 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-06 7,485 7,475 2897,23 2897,23 21685,76655 21656,79425 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-07 7,43 7,42 2938,77 2938,77 21835,0611 21805,6734 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-08 7,498 7,488 2943,45 2943,45 22069,9881 22040,5536 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-09 7,523 7,513 2933,22 2933,22 22066,61406 22037,28186 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-12 7,555 7,545 2955,94 2955,94 22332,1267 22302,5673 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-13 7,57 7,56 2965,25 2965,25 22446,9425 22417,29 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-14 7,61 7,6 2940,12 2940,12 22374,3132 22344,912 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-15 7,658 7,648 2915,32 2915,32 22325,52056 22296,36736 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-16 7,613 7,603 2913,54 2913,54 22180,78002 22151,64462 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-19 7,698 7,688 2927,54 2927,54 22536,20292 22506,92752 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-20 7,688 7,678 2907,42 2907,42 22352,24496 22323,17076 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-21 7,663 7,653 2861,93 2861,93 21930,96959 21902,35029 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-22 7,648 7,638 2811,08 2811,08 21499,13984 21471,02904 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-23 7,733 7,723 2809,06 2809,06 21722,46098 21694,37038 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-26 7,798 7,788 2834,55 2834,55 22103,8209 22075,4754 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-27 7,825 7,815 2854,84 2854,84 22339,123 22310,5746 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-28 7,81 7,8 2854,59 2854,59 22294,3479 22265,802 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-29 7,785 7,775 2833,15 2833,15 22056,07275 22027,74125 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-09-30 7,785 7,775 2845,33 2845,33 22150,89405 22122,44075 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-03 7,783 7,773 2859,58 2859,58 22256,11114 22227,51534 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-04 7,82 7,81 2865,44 2865,44 22407,7408 22379,0864 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-05 7,795 7,785 2835,92 2835,92 22105,9964 22077,6372 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-06 7,713 7,703 2762,46 2762,46 21306,85398 21279,22938 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-07 7,683 7,673 2739,49 2739,49 21047,50167 21020,10677 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-10 7,698 7,688 2757,58 2757,58 21227,85084 21200,27504 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-11 7,77 7,76 2733,13 2733,13 21236,4201 21209,0888 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-12 7,805 7,795 2705,11 2705,11 21113,38355 21086,33245 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-13 7,83 7,82 2671,36 2671,36 20916,7488 20890,0352 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-14 7,833 7,823 2683,99 2683,99 21023,69367 20996,85377 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-17 7,835 7,825 2718,06 2718,06 21296,0001 21268,8195 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-18 7,893 7,883 2726,56 2726,56 21520,73808 21493,47248 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-19 7,96 7,95 2697,33 2697,33 21470,7468 21443,7735 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-20 7,93 7,92 2747,32 2747,32 21786,2476 21758,7744 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-21 7,883 7,873 2712,14 2712,14 21379,79962 21352,67822 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-24 7,995 7,985 2733,99 2733,99 21858,25005 21830,91015 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-25 7,99 7,98 2790,42 2790,42 22295,4558 22267,5516 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-26 7,868 7,858 2750,37 2750,37 21639,91116 21612,40746 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-27 7,868 7,858 2730,35 2730,35 21482,3938 21455,0903 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-28 7,825 7,815 2661,92 2661,92 20829,524 20802,9048 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-10-31 7,905 7,895 2712,84 2712,84 21445,0002 21417,8718 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-02 7,98 7,97 2765,55 2765,55 22069,089 22041,4335 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-03 8,01 8 2829,09 2829,09 22661,0109 22632,72 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-04 8,028 8,018 2832,82 2832,82 22741,87896 22713,55076 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-07 8,135 8,125 2833,47 2833,47 23050,27845 23021,94375 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-08 8,17 8,16 2846,65 2846,65 23257,1305 23228,664 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-09 8,12 8,11 2824,5 2824,5 22934,94 22906,695 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-10 8,173 8,163 2837,91 2837,91 23194,23843 23165,85933 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-11 8,235 8,225 2846,65 2846,65 23442,16275 23413,69625 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-14 8,133 8,123 2853,14 2853,14 23204,58762 23176,05622 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-15 8,185 8,175 2848,63 2848,63 23316,03655 23287,55025 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-16 8,21 8,2 2810,94 2810,94 23077,8174 23049,708 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-17 8,258 8,248 2802,73 2802,73 23144,94434 23116,91704 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-18 8,223 8,213 2842,83 2842,83 23376,59109 23348,16279 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-21 8,123 8,113 2859,06 2859,06 23224,14438 23195,55378 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-22 8,15 8,14 2875,43 2875,43 23434,7545 23406,0002 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-23 8,048 8,038 2885,45 2885,45 23222,1016 23193,2471 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-24 8,053 8,043 2895,31 2895,31 23315,93143 23286,97833 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-25 8,078 8,068 2895,31 2895,31 23388,31418 23359,36108 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-28 8,118 8,108 2900,62 2900,62 23547,23316 23518,22696 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-29 8,015 8,005 2855,7 2855,7 22888,4355 22859,8785 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-11-30 8,088 8,078 2871,07 2871,07 23221,21416 23192,50346 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-01 8,083 8,073 2887,92 2887,92 23343,05736 23314,17816 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-02 8,103 8,093 2932,59 2932,59 23762,77677 23733,45087 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-05 8,045 8,035 2926,04 2926,04 23539,9918 23510,7314 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-06 7,993 7,983 2902,07 2902,07 23196,24551 23167,22481 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-07 8,015 8,005 2909,11 2909,11 23316,51665 23287,42555 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-08 7,988 7,978 2889,73 2889,73 23083,16324 23054,26594 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-12 7,953 7,943 2909,79 2909,79 23141,55987 23112,46197 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-13 7,905 7,895 2908,18 2908,18 22989,1629 22960,0811 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-14 7,848 7,838 2907,16 2907,16 22815,39168 22786,32008 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-15 7,858 7,848 2917,6 2917,6 22926,5008 22897,3248 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-16 7,903 7,893 2891,48 2891,48 22851,36644 22822,45164 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-19 7,865 7,855 2873,9 2873,9 22603,2235 22574,4845 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-20 7,848 7,838 2832,32 2832,32 22228,04736 22199,72416 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-21 7,948 7,938 2837,89 2837,89 22555,54972 22527,17082 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-22 7,98 7,97 2859,24 2859,24 22816,7352 22788,1428 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-23 7,955 7,945 2875,24 2875,24 22872,5342 22843,7818 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-27 8,01 8 2883,6 2883,6 23097,636 23068,8 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-28 7,915 7,905 2846,45 2846,45 22529,65175 22501,18725 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-29 7,938 7,928 2867,64 2867,64 22763,32632 22734,64992 178863 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Small Cap USA USD 2005-12-30 7,958 7,948 2868,66 2868,66 22828,79628 22800,10968 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-03 9,0065 9,0015 13,26 13,26 119,42619 119,35989 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-04 9,0345 9,0295 13,33 13,33 120,429885 120,363235 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-05 9,0615 9,0565 13,38 13,38 121,24287 121,17597 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-07 9,0615 9,0565 13,36 13,36 121,06164 120,99484 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-10 9,08619 9,08119 13,47 13,47 122,3909793 122,3236293 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-11 9,08619 9,08119 13,46 13,46 122,3001174 122,2328174 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-12 9,0455 9,0405 13,37 13,37 120,938335 120,871485 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-13 9,0505 9,0455 13,28 13,28 120,19064 120,12424 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-14 9,0455 9,0405 13,34 13,34 120,66697 120,60027 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-17 9,0685 9,0635 13,41 13,41 121,608585 121,541535 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-18 9,0585 9,0535 13,45 13,45 121,836825 121,769575 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-19 9,0225 9,0175 13,48 13,48 121,6233 121,5559 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-20 9,0315 9,0265 13,5 13,5 121,92525 121,85775 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-21 9,0505 9,0455 13,42 13,42 121,45771 121,39061 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-24 9,0655 9,0605 13,43 13,43 121,749665 121,682515 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-25 9,0715 9,0665 13,42 13,42 121,73953 121,67243 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-26 9,0885 9,0835 13,54 13,54 123,05829 122,99059 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-27 9,0675 9,0625 13,54 13,54 122,77395 122,70625 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-28 9,0955 9,0905 13,6 13,6 123,6988 123,6308 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-01-31 9,1075 9,1025 13,57 13,57 123,588775 123,520925 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-01 9,1035 9,0985 13,65 13,65 124,262775 124,194525 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-02 9,0905 9,0855 13,74 13,74 124,90347 124,83477 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-03 9,0695 9,0645 13,78 13,78 124,97771 124,90881 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-04 9,0895 9,0845 13,79 13,79 125,344205 125,275255 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-07 9,0755 9,0705 13,91 13,91 126,240205 126,170655 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-08 9,0895 9,0845 13,98 13,98 127,07121 127,00131 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-09 9,0695 9,0645 14 14 126,973 126,903 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-10 9,0805 9,0755 13,95 13,95 126,672975 126,603225 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-11 9,0935 9,0885 13,92 13,92 126,58152 126,51192 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-14 9,1105 9,1055 14,01 14,01 127,638105 127,568055 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-15 9,0765 9,0715 14,05 14,05 127,524825 127,454575 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-16 9,0705 9,0655 14,1 14,1 127,89405 127,82355 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-17 9,0925 9,0875 14,04 14,04 127,6587 127,5885 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-18 9,0945 9,0895 14,08 14,08 128,05056 127,98016 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-21 9,1185 9,1135 14,09 14,09 128,479665 128,409215 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-22 9,0975 9,0925 14,01 14,01 127,455975 127,385925 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-23 9,1045 9,0995 13,89 13,89 126,461505 126,392055 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-24 9,0715 9,0665 13,86 13,86 125,73099 125,66169 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-25 9,0845 9,0795 13,89 13,89 126,183705 126,114255 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-02-28 9,0505 9,0455 14,04 14,04 127,06902 126,99882 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-01 9,0565 9,0515 14,05 14,05 127,243825 127,173575 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-02 9,0645 9,0595 14,1 14,1 127,80945 127,73895 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-03 9,0675 9,0625 14,08 14,08 127,6704 127,6 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-04 9,0415 9,0365 14,08 14,08 127,30432 127,23392 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-07 9,0425 9,0375 14,17 14,17 128,132225 128,061375 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-08 9,0345 9,0295 14,16 14,16 127,92852 127,85772 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-09 9,0365 9,0315 14,09 14,09 127,324285 127,253835 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-10 9,0655 9,0605 14,03 14,03 127,188965 127,118815 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-11 9,0795 9,0745 13,91 13,91 126,295845 126,226295 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-14 9,0695 9,0645 13,93 13,93 126,338135 126,268485 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-15 9,1035 9,0985 13,93 13,93 126,811755 126,742105 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-16 9,0975 9,0925 14,02 14,02 127,54695 127,47685 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-17 9,1045 9,0995 13,86 13,86 126,18837 126,11907 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-18 9,1035 9,0985 13,85 13,85 126,083475 126,014225 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-21 9,1265 9,1215 13,88 13,88 126,67582 126,60642 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-22 9,1265 9,1215 13,87 13,87 126,584555 126,515205 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-23 9,1165 9,1115 13,89 13,89 126,628185 126,558735 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-24 9,1135 9,1085 13,81 13,81 125,857435 125,788385 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-29 9,1315 9,1265 13,9 13,9 126,92785 126,85835 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-30 9,1425 9,1375 13,89 13,89 126,989325 126,919875 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-03-31 9,1405 9,1355 13,84 13,84 126,50452 126,43532 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-01 9,1645 9,1595 13,87 13,87 127,111615 127,042265 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-04 9,1695 9,1645 13,96 13,96 128,00622 127,93642 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-05 9,1745 9,1695 13,94 13,94 127,89253 127,82283 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-06 9,1705 9,1655 14,04 14,04 128,75382 128,68362 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-07 9,1505 9,1455 14,12 14,12 129,20506 129,13446 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-08 9,1625 9,1575 14,17 14,17 129,832625 129,761775 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-11 9,1705 9,1655 14,2 14,2 130,2211 130,1501 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-12 9,1525 9,1475 14,16 14,16 129,5994 129,5286 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-13 9,1495 9,1445 14,14 14,14 129,37393 129,30323 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-14 9,1685 9,1635 14,21 14,21 130,284385 130,213335 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-15 9,1925 9,1875 14,16 14,16 130,1658 130,095 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-18 9,1805 9,1755 13,92 13,92 127,79256 127,72296 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-19 9,2035 9,1985 13,66 13,66 125,71981 125,65151 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-20 9,1915 9,1865 13,76 13,76 126,47504 126,40624 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-21 9,1855 9,1805 13,73 13,73 126,116915 126,048265 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-22 9,1625 9,1575 13,72 13,72 125,7095 125,6409 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-25 9,1685 9,1635 13,82 13,82 126,70867 126,63957 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-26 9,1375 9,1325 13,86 13,86 126,64575 126,57645 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-27 9,1465 9,1415 13,82 13,82 126,40463 126,33553 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-28 9,1505 9,1455 13,62 13,62 124,62981 124,56171 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-04-29 9,1705 9,1655 13,59 13,59 124,627095 124,559145 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-03 9,2245 9,2195 13,65 13,65 125,914425 125,846175 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-04 9,1915 9,1865 13,67 13,67 125,647805 125,579455 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-06 9,1715 9,1665 13,78 13,78 126,38327 126,31437 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-09 9,1815 9,1765 13,85 13,85 127,163775 127,094525 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-10 9,1985 9,1935 13,84 13,84 127,30724 127,23804 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-11 9,2105 9,2055 13,78 13,78 126,92069 126,85179 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-12 9,2315 9,2265 13,79 13,79 127,302385 127,233435 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-13 9,2045 9,1995 13,91 13,91 128,034595 127,965045 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-17 9,2325 9,2275 13,87 13,87 128,054775 127,985425 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-18 9,2095 9,2045 13,87 13,87 127,735765 127,666415 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-19 9,1905 9,1855 14 14 128,667 128,597 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-20 9,1955 9,1905 14,08 14,08 129,47264 129,40224 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-23 9,1805 9,1755 14,11 14,11 129,536855 129,466305 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-24 9,1815 9,1765 14,19 14,19 130,285485 130,214535 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-25 9,1785 9,1735 14,19 14,19 130,242915 130,171965 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-26 9,1945 9,1895 14,21 14,21 130,653845 130,582795 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-27 9,1955 9,1905 14,31 14,31 131,587605 131,516055 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-30 9,1905 9,1855 14,3 14,3 131,42415 131,35265 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-05-31 9,1665 9,1615 14,38 14,38 131,81427 131,74237 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-01 9,1455 9,1405 14,41 14,41 131,786655 131,714605 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-02 9,1565 9,1515 14,56 14,56 133,31864 133,24584 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-03 9,1315 9,1265 14,58 14,58 133,13727 133,06437 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-07 9,1455 9,1405 14,55 14,55 133,067025 132,994275 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-08 9,1455 9,1405 14,69 14,69 134,347395 134,273945 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-09 9,1965 9,1915 14,69 14,69 135,096585 135,023135 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-10 9,1975 9,1925 14,72 14,72 135,3872 135,3136 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-13 9,2365 9,2315 14,82 14,82 136,88493 136,81083 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-14 9,2985 9,2935 14,88 14,88 138,36168 138,28728 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-15 9,2695 9,2645 14,9 14,9 138,11555 138,04105 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-16 9,2695 9,2645 14,86 14,86 137,74477 137,67047 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-17 9,2695 9,2645 14,94 14,94 138,48633 138,41163 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-20 9,2255 9,2205 14,97 14,97 138,105735 138,030885 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-21 9,2725 9,2675 14,99 14,99 138,994775 138,919825 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-22 9,2615 9,2565 15,03 15,03 139,200345 139,125195 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-27 9,3855 9,3805 15,04 15,04 141,15792 141,08272 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-28 9,3995 9,3945 14,91 14,91 140,146545 140,071995 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-29 9,4215 9,4165 15,07 15,07 141,982005 141,906655 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-06-30 9,4415 9,4365 15,12 15,12 142,75548 142,67988 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-01 9,4595 9,4545 15,1 15,1 142,83845 142,76295 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-04 9,4795 9,4745 15,23 15,23 144,372785 144,296635 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-05 9,4575 9,4525 15,27 15,27 144,416025 144,339675 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-06 9,4195 9,4145 15,28 15,28 143,92996 143,85356 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-07 9,3965 9,3915 15,37 15,37 144,424205 144,347355 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-08 9,4175 9,4125 15,12 15,12 142,3926 142,317 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-11 9,4665 9,4615 15,36 15,36 145,40544 145,32864 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-12 9,4645 9,4595 15,43 15,43 146,037235 145,960085 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-13 9,3915 9,3865 15,39 15,39 144,535185 144,458235 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-14 9,3675 9,3625 15,47 15,47 144,915225 144,837875 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-15 9,4055 9,4005 15,5 15,5 145,78525 145,70775 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-18 9,3895 9,3845 15,45 15,45 145,067775 144,990525 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-19 9,4425 9,4375 15,43 15,43 145,697775 145,620625 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-20 9,4265 9,4215 15,48 15,48 145,92222 145,84482 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-21 9,4625 9,4575 15,45 15,45 146,195625 146,118375 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-22 9,4495 9,4445 15,44 15,44 145,90028 145,82308 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-25 9,4275 9,4225 15,46 15,46 145,74915 145,67185 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-26 9,4155 9,4105 15,51 15,51 146,034405 145,956855 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-27 9,4725 9,4675 15,53 15,53 147,107925 147,030275 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-28 9,4515 9,4465 15,6 15,6 147,4434 147,3654 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-07-29 9,3885 9,3835 15,68 15,68 147,21168 147,13328 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-01 9,3985 9,3935 15,66 15,66 147,18051 147,10221 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-02 9,3995 9,3945 15,68 15,68 147,38416 147,30576 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-03 9,3755 9,3705 15,78 15,78 147,94539 147,86649 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-04 9,3735 9,3685 15,8 15,8 148,1013 148,0223 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-05 9,3355 9,3305 15,71 15,71 146,660705 146,582155 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-08 9,3335 9,3285 15,66 15,66 146,16261 146,08431 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-09 9,3455 9,3405 15,76 15,76 147,28508 147,20628 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-10 9,3535 9,3485 15,84 15,84 148,15944 148,08024 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-11 9,3365 9,3315 15,97 15,97 149,103905 149,024055 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-12 9,3025 9,2975 15,93 15,93 148,188825 148,109175 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-16 9,2995 9,2945 15,9 15,9 147,86205 147,78255 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-17 9,3405 9,3355 15,85 15,85 148,046925 147,967675 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-18 9,3365 9,3315 15,79 15,79 147,423335 147,344385 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-19 9,3395 9,3345 15,72 15,72 146,81694 146,73834 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-22 9,3655 9,3605 15,83 15,83 148,255865 148,176715 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-23 9,3715 9,3665 15,87 15,87 148,725705 148,646355 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-24 9,3365 9,3315 15,81 15,81 147,610065 147,531015 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-25 9,3335 9,3285 15,76 15,76 147,09596 147,01716 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-26 9,3415 9,3365 15,67 15,67 146,381305 146,302955 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-29 9,3295 9,3245 15,62 15,62 145,72679 145,64869 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-30 9,3285 9,3235 15,64 15,64 145,89774 145,81954 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-08-31 9,3585 9,3535 15,71 15,71 147,022035 146,943485 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-01 9,3365 9,3315 15,87 15,87 148,170255 148,090905 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-02 9,3025 9,2975 16,02 16,02 149,02605 148,94595 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-05 9,2845 9,2795 16 16 148,552 148,472 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-06 9,3225 9,3175 16,06 16,06 149,71935 149,63905 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-07 9,3075 9,3025 16,16 16,16 150,4092 150,3284 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-08 9,3255 9,3205 16,23 16,23 151,352865 151,271715 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-09 9,3445 9,3395 16,22 16,22 151,56779 151,48669 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-12 9,3015 9,2965 16,31 16,31 151,707465 151,625915 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-13 9,3015 9,2965 16,36 16,36 152,17254 152,09074 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-14 9,3365 9,3315 16,25 16,25 151,718125 151,636875 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-15 9,3425 9,3375 16,3 16,3 152,28275 152,20125 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-16 9,3465 9,3415 16,33 16,33 152,628345 152,546695 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-19 9,3355 9,3305 16,42 16,42 153,28891 153,20681 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-20 9,3395 9,3345 16,49 16,49 154,008355 153,925905 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-21 9,3405 9,3355 16,55 16,55 154,585275 154,502525 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-22 9,3405 9,3355 16,43 16,43 153,464415 153,382265 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-23 9,3695 9,3645 16,39 16,39 153,566105 153,484155 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-26 9,3815 9,3765 16,43 16,43 154,138045 154,055895 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-27 9,3885 9,3835 16,53 16,53 155,191905 155,109255 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-28 9,3935 9,3885 16,52 16,52 155,18062 155,09802 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-29 9,3845 9,3795 16,6 16,6 155,7827 155,6997 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-09-30 9,3435 9,3385 16,61 16,61 155,195535 155,112485 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-03 9,3025 9,2975 16,65 16,65 154,886625 154,803375 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-04 9,3185 9,3135 16,77 16,77 156,271245 156,187395 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-05 9,3105 9,3055 16,75 16,75 155,950875 155,867125 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-06 9,3015 9,2965 16,58 16,58 154,21887 154,13597 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-07 9,3385 9,3335 16,28 16,28 152,03078 151,94938 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-10 9,3465 9,3415 16,23 16,23 151,693695 151,612545 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-11 9,3395 9,3345 16,3 16,3 152,23385 152,15235 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-12 9,3375 9,3325 16,33 16,33 152,481375 152,399725 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-13 9,3815 9,3765 16,22 16,22 152,16793 152,08683 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-14 9,4135 9,4085 15,91 15,91 149,768785 149,689235 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-17 9,4575 9,4525 15,84 15,84 149,8068 149,7276 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-18 9,4625 9,4575 15,82 15,82 149,69675 149,61765 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-19 9,4605 9,4555 15,76 15,76 149,09748 149,01868 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-20 9,4935 9,4885 15,46 15,46 146,76951 146,69221 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-21 9,4915 9,4865 15,52 15,52 147,30808 147,23048 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-24 9,5455 9,5405 15,43 15,43 147,287065 147,209915 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-25 9,5465 9,5415 15,64 15,64 149,30726 149,22906 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-26 9,4975 9,4925 15,61 15,61 148,255975 148,177925 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-27 9,5355 9,5305 15,7 15,7 149,70735 149,62885 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-28 9,5135 9,5085 15,48 15,48 147,26898 147,19158 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-10-31 9,5495 9,5445 15,49 15,49 147,921755 147,844305 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-02 9,5855 9,5805 15,86 15,86 152,02603 151,94673 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-03 9,6515 9,6465 15,92 15,92 153,65188 153,57228 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-04 9,5875 9,5825 16,14 16,14 154,74225 154,66155 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-07 9,6075 9,6025 16,11 16,11 154,776825 154,696275 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-08 9,5685 9,5635 16,17 16,17 154,722645 154,641795 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-09 9,5575 9,5525 16,17 16,17 154,544775 154,463925 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-10 9,6105 9,6055 16,16 16,16 155,30568 155,22488 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-11 9,6365 9,6315 16,17 16,17 155,822205 155,741355 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-14 9,5505 9,5455 16,31 16,31 155,768655 155,687105 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-15 9,5805 9,5755 16,32 16,32 156,35376 156,27216 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-16 9,6235 9,6185 16,24 16,24 156,28564 156,20444 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-17 9,6355 9,6305 16,13 16,13 155,420615 155,339965 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-18 9,6085 9,6035 16,21 16,21 155,753785 155,672735 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-21 9,5915 9,5865 16,31 16,31 156,437365 156,355815 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-22 9,5585 9,5535 16,35 16,35 156,281475 156,199725 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-23 9,5155 9,5105 16,38 16,38 155,86389 155,78199 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-24 9,5125 9,5075 16,45 16,45 156,480625 156,398375 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-25 9,4965 9,4915 16,41 16,41 155,837565 155,755515 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-28 9,4835 9,4785 16,46 16,46 156,09841 156,01611 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-29 9,4785 9,4735 16,37 16,37 155,163045 155,081195 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-11-30 9,5295 9,5245 16,39 16,39 156,188505 156,106555 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-01 9,5165 9,5115 16,31 16,31 155,214115 155,132565 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-02 9,4905 9,4855 16,55 16,55 157,067775 156,985025 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-05 9,4065 9,4015 16,67 16,67 156,806355 156,723005 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-06 9,4185 9,4135 16,63 16,63 156,629655 156,546505 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-07 9,4255 9,4205 16,71 16,71 157,500105 157,416555 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-08 9,3965 9,3915 16,68 16,68 156,73362 156,65022 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-12 9,4315 9,4265 16,65 16,65 157,034475 156,951225 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-13 9,4295 9,4245 16,64 16,64 156,90688 156,82368 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-14 9,4365 9,4315 16,66 16,66 157,21209 157,12879 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-15 9,4345 9,4295 16,61 16,61 156,707045 156,623995 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-16 9,4765 9,4715 16,57 16,57 157,025605 156,942755 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-19 9,4535 9,4485 16,68 16,68 157,68438 157,60098 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-20 9,4015 9,3965 16,67 16,67 156,723005 156,639655 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-21 9,4485 9,4435 16,72 16,72 157,97892 157,89532 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-22 9,4365 9,4315 16,8 16,8 158,5332 158,4492 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-23 9,4425 9,4375 16,78 16,78 158,44515 158,36125 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-27 9,4915 9,4865 16,78 16,78 159,26737 159,18347 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-28 9,4345 9,4295 16,84 16,84 158,87698 158,79278 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-29 9,4115 9,4065 16,81 16,81 158,207315 158,123265 884544 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) Style Invest Europe EUR 2005-12-30 9,4325 9,4275 16,91 16,91 159,503575 159,419025 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-03 6,668 6,658 10,74 10,74 71,61432 71,50692 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-04 6,728 6,718 10,62 10,62 71,45136 71,34516 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-05 6,828 6,818 10,44 10,44 71,28432 71,17992 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-07 6,87 6,86 10,41 10,41 71,5167 71,4126 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-10 6,96091 6,95091 10,4 10,4 72,393464 72,289464 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-11 6,96091 6,95091 10,45 10,45 72,7415095 72,6370095 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-12 6,913 6,903 10,38 10,38 71,75694 71,65314 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-13 6,843 6,833 10,44 10,44 71,44092 71,33652 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-14 6,915 6,905 10,33 10,33 71,43195 71,32865 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-17 6,915 6,905 10,39 10,39 71,84685 71,74295 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-18 6,968 6,958 10,39 10,39 72,39752 72,29362 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-19 6,91 6,9 10,51 10,51 72,6241 72,519 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-20 6,96 6,95 10,38 10,38 72,2448 72,141 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-21 6,978 6,968 10,26 10,26 71,59428 71,49168 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-24 6,933 6,923 10,21 10,21 70,78593 70,68383 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-25 6,95 6,94 10,07 10,07 69,9865 69,8858 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-26 6,995 6,985 10,07 10,07 70,43965 70,33895 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-27 6,93 6,92 10,16 10,16 70,4088 70,3072 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-28 6,985 6,975 10,13 10,13 70,75805 70,65675 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-01-31 6,998 6,988 10,12 10,12 70,81976 70,71856 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-01 6,993 6,983 10,21 10,21 71,39853 71,29643 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-02 6,953 6,943 10,24 10,24 71,19872 71,09632 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-03 6,968 6,958 10,24 10,24 71,35232 71,24992 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-04 7,01 7 10,17 10,17 71,2917 71,19 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-07 7,065 7,055 10,3 10,3 72,7695 72,6665 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-08 7,123 7,113 10,28 10,28 73,22444 73,12164 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-09 7,1 7,09 10,28 10,28 72,988 72,8852 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-10 7,088 7,078 10,15 10,15 71,9432 71,8417 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-11 7,068 7,058 10,2 10,2 72,0936 71,9916 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-14 7,03 7,02 10,32 10,32 72,5496 72,4464 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-15 7,005 6,995 10,32 10,32 72,2916 72,1884 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-16 6,973 6,963 10,35 10,35 72,17055 72,06705 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-17 6,97 6,96 10,36 10,36 72,2092 72,1056 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-18 6,965 6,955 10,28 10,28 71,6002 71,4974 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-21 6,978 6,968 10,28 10,28 71,73384 71,63104 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-22 6,905 6,895 10,28 10,28 70,9834 70,8806 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-23 6,895 6,885 10,14 10,14 69,9153 69,8139 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-24 6,858 6,848 10,2 10,2 69,9516 69,8496 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-25 6,885 6,875 10,29 10,29 70,84665 70,74375 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-02-28 6,828 6,818 10,36 10,36 70,73808 70,63448 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-01 6,87 6,86 10,22 10,22 70,2114 70,1092 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-02 6,888 6,878 10,26 10,26 70,67088 70,56828 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-03 6,903 6,893 10,28 10,28 70,96284 70,86004 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-04 6,9 6,89 10,26 10,26 70,794 70,6914 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-07 6,84 6,83 10,33 10,33 70,6572 70,5539 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-08 6,825 6,815 10,38 10,38 70,8435 70,7397 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-09 6,76 6,75 10,34 10,34 69,8984 69,795 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-10 6,745 6,735 10,28 10,28 69,3386 69,2358 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-11 6,765 6,755 10,26 10,26 69,4089 69,3063 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-14 6,76 6,75 10,21 10,21 69,0196 68,9175 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-15 6,815 6,805 10,28 10,28 70,0582 69,9554 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-16 6,81 6,8 10,22 10,22 69,5982 69,496 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-17 6,795 6,785 10,12 10,12 68,7654 68,6642 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-18 6,828 6,818 10,14 10,14 69,23592 69,13452 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-21 6,908 6,898 10,14 10,14 70,04712 69,94572 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-22 6,928 6,918 10,07 10,07 69,76496 69,66426 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-23 6,973 6,963 10 10 69,73 69,63 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-24 7,008 6,998 9,99 9,99 70,00992 69,91002 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-29 7,055 7,045 9,97 9,97 70,33835 70,23865 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-30 7,053 7,043 9,85 9,85 69,47205 69,37355 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-03-31 7,065 7,055 10,01 10,01 70,72065 70,62055 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-01 7,07 7,06 9,99 9,99 70,6293 70,5294 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-04 7,113 7,103 9,93 9,93 70,63209 70,53279 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-05 7,163 7,153 9,96 9,96 71,34348 71,24388 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-06 7,125 7,115 10,02 10,02 71,3925 71,2923 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-07 7,083 7,073 10,05 10,05 71,18415 71,08365 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-08 7,153 7,143 10,15 10,15 72,60295 72,50145 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-11 7,098 7,088 10,07 10,07 71,47686 71,37616 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-12 7,048 7,038 10,06 10,06 70,90288 70,80228 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-13 7,075 7,065 10,1 10,1 71,4575 71,3565 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-14 7,12 7,11 9,96 9,96 70,9152 70,8156 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-15 7,17 7,16 9,84 9,84 70,5528 70,4544 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-18 7,08 7,07 9,68 9,68 68,5344 68,4376 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-19 7,068 7,058 9,71 9,71 68,63028 68,53318 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-20 7,043 7,033 9,81 9,81 69,09183 68,99373 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-21 7,025 7,015 9,71 9,71 68,21275 68,11565 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-22 7,023 7,013 9,92 9,92 69,66816 69,56896 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-25 7,04 7,03 9,85 9,85 69,344 69,2455 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-26 7,035 7,025 9,94 9,94 69,9279 69,8285 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-27 7,085 7,075 9,85 9,85 69,78725 69,68875 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-28 7,085 7,075 9,86 9,86 69,8581 69,7595 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-04-29 7,08 7,07 9,71 9,71 68,7468 68,6497 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-03 7,178 7,168 9,85 9,85 70,7033 70,6048 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-04 7,11 7,1 9,86 9,86 70,1046 70,006 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-06 7,085 7,075 9,99 9,99 70,77915 70,67925 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-09 7,168 7,158 10,03 10,03 71,89504 71,79474 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-10 7,178 7,168 10,08 10,08 72,35424 72,25344 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-11 7,15 7,14 9,99 9,99 71,4285 71,3286 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-12 7,243 7,233 10,05 10,05 72,79215 72,69165 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-13 7,265 7,255 9,97 9,97 72,43205 72,33235 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-17 7,313 7,303 10,01 10,01 73,20313 73,10303 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-18 7,3 7,29 10,05 10,05 73,365 73,2645 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-19 7,26 7,25 10,16 10,16 73,7616 73,66 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-20 7,28 7,27 10,19 10,19 74,1832 74,0813 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-23 7,32 7,31 10,19 10,19 74,5908 74,4889 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-24 7,295 7,285 10,25 10,25 74,77375 74,67125 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-25 7,298 7,288 10,27 10,27 74,95046 74,84776 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-26 7,33 7,32 10,2 10,2 74,766 74,664 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-27 7,338 7,328 10,29 10,29 75,50802 75,40512 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-05-30 7,338 7,328 10,32 10,32 75,72816 75,62496 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-01 7,428 7,418 10,28 10,28 76,35984 76,25704 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-02 7,473 7,463 10,37 10,37 77,49501 77,39131 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-03 7,438 7,428 10,4 10,4 77,3552 77,2512 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-07 7,448 7,438 10,34 10,34 77,01232 76,90892 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-08 7,435 7,425 10,31 10,31 76,65485 76,55175 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-09 7,523 7,513 10,26 10,26 77,18598 77,08338 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-10 7,525 7,515 10,36 10,36 77,959 77,8554 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-13 7,643 7,633 10,3 10,3 78,7229 78,6199 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-14 7,663 7,653 10,35 10,35 79,31205 79,20855 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-15 7,693 7,683 10,39 10,39 79,93027 79,82637 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-16 7,678 7,668 10,41 10,41 79,92798 79,82388 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-17 7,643 7,633 10,47 10,47 80,02221 79,91751 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-20 7,543 7,533 10,48 10,48 79,05064 78,94584 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-21 7,648 7,638 10,46 10,46 79,99808 79,89348 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-22 7,608 7,598 10,43 10,43 79,35144 79,24714 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-27 7,73 7,72 10,25 10,25 79,2325 79,13 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-28 7,76 7,75 10,23 10,23 79,3848 79,2825 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-29 7,833 7,823 10,34 10,34 80,99322 80,88982 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-06-30 7,823 7,813 10,31 10,31 80,65513 80,55203 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-01 7,858 7,848 10,27 10,27 80,70166 80,59896 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-04 7,945 7,935 10,28 10,28 81,6746 81,5718 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-05 7,963 7,953 10,28 10,28 81,85964 81,75684 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-06 7,895 7,885 10,34 10,34 81,6343 81,5309 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-07 7,878 7,868 10,27 10,27 80,90706 80,80436 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-08 7,913 7,903 10,29 10,29 81,42477 81,32187 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-11 7,89 7,88 10,41 10,41 82,1349 82,0308 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-12 7,77 7,76 10,48 10,48 81,4296 81,3248 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-13 7,703 7,693 10,5 10,5 80,8815 80,7765 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-14 7,76 7,75 10,47 10,47 81,2472 81,1425 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-15 7,76 7,75 10,46 10,46 81,1696 81,065 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-18 7,78 7,77 10,49 10,49 81,6122 81,5073 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-19 7,878 7,868 10,45 10,45 82,3251 82,2206 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-20 7,818 7,808 10,55 10,55 82,4799 82,3744 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-21 7,775 7,765 10,6 10,6 82,415 82,309 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-22 7,758 7,748 10,52 10,52 81,61416 81,50896 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-25 7,838 7,828 10,56 10,56 82,76928 82,66368 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-26 7,818 7,808 10,5 10,5 82,089 81,984 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-27 7,905 7,895 10,56 10,56 83,4768 83,3712 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-28 7,848 7,838 10,64 10,64 83,50272 83,39632 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-07-29 7,748 7,738 10,71 10,71 82,98108 82,87398 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-01 7,72 7,71 10,67 10,67 82,3724 82,2657 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-02 7,7 7,69 10,68 10,68 82,236 82,1292 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-03 7,685 7,675 10,73 10,73 82,46005 82,35275 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-04 7,618 7,608 10,76 10,76 81,96968 81,86208 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-05 7,548 7,538 10,67 10,67 80,53716 80,43046 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-08 7,558 7,548 10,61 10,61 80,19038 80,08428 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-09 7,548 7,538 10,55 10,55 79,6314 79,5259 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-10 7,558 7,548 10,63 10,63 80,34154 80,23524 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-11 7,523 7,513 10,6 10,6 79,7438 79,6378 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-12 7,46 7,45 10,67 10,67 79,5982 79,4915 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-16 7,523 7,513 10,66 10,66 80,19518 80,08858 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-17 7,605 7,595 10,52 10,52 80,0046 79,8994 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-18 7,61 7,6 10,56 10,56 80,3616 80,256 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-19 7,698 7,688 10,53 10,53 81,05994 80,95464 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-22 7,69 7,68 10,54 10,54 81,0526 80,9472 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-23 7,663 7,653 10,55 10,55 80,84465 80,73915 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-24 7,673 7,663 10,53 10,53 80,79669 80,69139 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-25 7,588 7,578 10,49 10,49 79,59812 79,49322 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-26 7,578 7,568 10,5 10,5 79,569 79,464 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-29 7,573 7,563 10,46 10,46 79,21358 79,10898 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-30 7,633 7,623 10,55 10,55 80,52815 80,42265 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-08-31 7,668 7,658 10,53 10,53 80,74404 80,63874 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-01 7,568 7,558 10,65 10,65 80,5992 80,4927 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-02 7,435 7,425 10,65 10,65 79,18275 79,07625 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-05 7,41 7,4 10,6 10,6 78,546 78,44 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-06 7,485 7,475 10,6 10,6 79,341 79,235 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-07 7,43 7,42 10,74 10,74 79,7982 79,6908 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-08 7,498 7,488 10,79 10,79 80,90342 80,79552 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-09 7,523 7,513 10,76 10,76 80,94748 80,83988 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-12 7,555 7,545 10,83 10,83 81,82065 81,71235 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-13 7,57 7,56 10,85 10,85 82,1345 82,026 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-14 7,61 7,6 10,77 10,77 81,9597 81,852 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-15 7,658 7,648 10,67 10,67 81,71086 81,60416 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-16 7,613 7,603 10,63 10,63 80,92619 80,81989 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-19 7,698 7,688 10,7 10,7 82,3686 82,2616 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-20 7,688 7,678 10,61 10,61 81,56968 81,46358 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-21 7,663 7,653 10,5 10,5 80,4615 80,3565 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-22 7,648 7,638 10,39 10,39 79,46272 79,35882 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-23 7,733 7,723 10,4 10,4 80,4232 80,3192 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-26 7,798 7,788 10,43 10,43 81,33314 81,22884 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-27 7,825 7,815 10,45 10,45 81,77125 81,66675 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-28 7,81 7,8 10,46 10,46 81,6926 81,588 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-29 7,785 7,775 10,46 10,46 81,4311 81,3265 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-09-30 7,785 7,775 10,56 10,56 82,2096 82,104 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-03 7,783 7,773 10,63 10,63 82,73329 82,62699 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-04 7,82 7,81 10,65 10,65 83,283 83,1765 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-05 7,795 7,785 10,55 10,55 82,23725 82,13175 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-06 7,713 7,703 10,35 10,35 79,82955 79,72605 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-07 7,683 7,673 10,24 10,24 78,67392 78,57152 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-10 7,698 7,688 10,25 10,25 78,9045 78,802 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-11 7,77 7,76 10,18 10,18 79,0986 78,9968 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-12 7,805 7,795 10,13 10,13 79,06465 78,96335 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-13 7,83 7,82 10,02 10,02 78,4566 78,3564 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-14 7,833 7,823 10,08 10,08 78,95664 78,85584 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-17 7,835 7,825 10,23 10,23 80,15205 80,04975 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-18 7,893 7,883 10,27 10,27 81,06111 80,95841 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-19 7,96 7,95 10,18 10,18 81,0328 80,931 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-20 7,93 7,92 10,34 10,34 81,9962 81,8928 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-21 7,883 7,873 10,22 10,22 80,56426 80,46206 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-24 7,995 7,985 10,25 10,25 81,94875 81,84625 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-25 7,99 7,98 10,42 10,42 83,2558 83,1516 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-26 7,868 7,858 10,37 10,37 81,59116 81,48746 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-27 7,868 7,858 10,29 10,29 80,96172 80,85882 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-28 7,825 7,815 10,15 10,15 79,42375 79,32225 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-10-31 7,905 7,895 10,3 10,3 81,4215 81,3185 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-02 7,98 7,97 10,43 10,43 83,2314 83,1271 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-03 8,01 8 10,58 10,58 84,7458 84,64 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-04 8,028 8,018 10,63 10,63 85,33764 85,23134 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-07 8,135 8,125 10,64 10,64 86,5564 86,45 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-08 8,17 8,16 10,66 10,66 87,0922 86,9856 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-09 8,12 8,11 10,59 10,59 85,9908 85,8849 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-10 8,173 8,163 10,61 10,61 86,71553 86,60943 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-11 8,235 8,225 10,72 10,72 88,2792 88,172 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-14 8,133 8,123 10,74 10,74 87,34842 87,24102 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-15 8,185 8,175 10,76 10,76 88,0706 87,963 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-16 8,21 8,2 10,73 10,73 88,0933 87,986 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-17 8,258 8,248 10,76 10,76 88,85608 88,74848 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-18 8,223 8,213 10,88 10,88 89,46624 89,35744 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-21 8,123 8,113 10,9 10,9 88,5407 88,4317 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-22 8,15 8,14 10,98 10,98 89,487 89,3772 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-23 8,048 8,038 11,05 11,05 88,9304 88,8199 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-24 8,053 8,043 11,06 11,06 89,06618 88,95558 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-25 8,078 8,068 11,06 11,06 89,34268 89,23208 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-28 8,118 8,108 11,08 11,08 89,94744 89,83664 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-29 8,015 8,005 10,93 10,93 87,60395 87,49465 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-11-30 8,088 8,078 10,89 10,89 88,07832 87,96942 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-01 8,083 8,073 10,88 10,88 87,94304 87,83424 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-02 8,103 8,093 11,02 11,02 89,29506 89,18486 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-05 8,045 8,035 11,07 11,07 89,05815 88,94745 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-06 7,993 7,983 11,06 11,06 88,40258 88,29198 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-07 8,015 8,005 11,1 11,1 88,9665 88,8555 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-08 7,988 7,978 11,05 11,05 88,2674 88,1569 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-12 7,953 7,943 11,09 11,09 88,19877 88,08787 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-13 7,905 7,895 11,1 11,1 87,7455 87,6345 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-14 7,848 7,838 11,12 11,12 87,26976 87,15856 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-15 7,858 7,848 11,13 11,13 87,45954 87,34824 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-16 7,903 7,893 11,11 11,11 87,80233 87,69123 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-19 7,865 7,855 11,1 11,1 87,3015 87,1905 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-20 7,848 7,838 10,98 10,98 86,17104 86,06124 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-21 7,948 7,938 11,01 11,01 87,50748 87,39738 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-22 7,98 7,97 11,03 11,03 88,0194 87,9091 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-23 7,955 7,945 11,08 11,08 88,1414 88,0306 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-27 8,01 8 11,11 11,11 88,9911 88,88 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-28 7,915 7,905 10,99 10,99 86,98585 86,87595 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-29 7,938 7,928 11,02 11,02 87,47676 87,36656 143032 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Growth USD 2005-12-30 7,958 7,948 10,98 10,98 87,37884 87,26904 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-03 6,668 6,658 10,91 10,91 72,74788 72,63878 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-04 6,728 6,718 10,79 10,79 72,59512 72,48722 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-05 6,828 6,818 10,68 10,68 72,92304 72,81624 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-07 6,87 6,86 10,71 10,71 73,5777 73,4706 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-10 6,96091 6,95091 10,66 10,66 74,2033006 74,0967006 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-11 6,96091 6,95091 10,7 10,7 74,481737 74,374737 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-12 6,913 6,903 10,66 10,66 73,69258 73,58598 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-13 6,843 6,833 10,7 10,7 73,2201 73,1131 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-14 6,915 6,905 10,64 10,64 73,5756 73,4692 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-17 6,915 6,905 10,7 10,7 73,9905 73,8835 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-18 6,968 6,958 10,7 10,7 74,5576 74,4506 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-19 6,91 6,9 10,83 10,83 74,8353 74,727 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-20 6,96 6,95 10,71 10,71 74,5416 74,4345 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-21 6,978 6,968 10,65 10,65 74,3157 74,2092 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-24 6,933 6,923 10,59 10,59 73,42047 73,31457 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-25 6,95 6,94 10,56 10,56 73,392 73,2864 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-26 6,995 6,985 10,6 10,6 74,147 74,041 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-27 6,93 6,92 10,68 10,68 74,0124 73,9056 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-28 6,985 6,975 10,71 10,71 74,80935 74,70225 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-01-31 6,998 6,988 10,67 10,67 74,66866 74,56196 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-01 6,993 6,983 10,79 10,79 75,45447 75,34657 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-02 6,953 6,943 10,88 10,88 75,64864 75,53984 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-03 6,968 6,958 10,89 10,89 75,88152 75,77262 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-04 7,01 7 10,88 10,88 76,2688 76,16 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-07 7,065 7,055 11 11 77,715 77,605 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-08 7,123 7,113 10,97 10,97 78,13931 78,02961 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-09 7,1 7,09 10,98 10,98 77,958 77,8482 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-10 7,088 7,078 10,91 10,91 77,33008 77,22098 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-11 7,068 7,058 10,99 10,99 77,67732 77,56742 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-14 7,03 7,02 11,07 11,07 77,8221 77,7114 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-15 7,005 6,995 11,08 11,08 77,6154 77,5046 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-16 6,973 6,963 11,11 11,11 77,47003 77,35893 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-17 6,97 6,96 11,14 11,14 77,6458 77,5344 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-18 6,965 6,955 11,05 11,05 76,96325 76,85275 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-21 6,978 6,968 11,07 11,07 77,24646 77,13576 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-22 6,905 6,895 11,07 11,07 76,43835 76,32765 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-23 6,895 6,885 10,92 10,92 75,2934 75,1842 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-24 6,858 6,848 11,02 11,02 75,57516 75,46496 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-25 6,885 6,875 11,11 11,11 76,49235 76,38125 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-02-28 6,828 6,818 11,24 11,24 76,74672 76,63432 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-01 6,87 6,86 11,16 11,16 76,6692 76,5576 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-02 6,888 6,878 11,21 11,21 77,21448 77,10238 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-03 6,903 6,893 11,22 11,22 77,45166 77,33946 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-04 6,9 6,89 11,22 11,22 77,418 77,3058 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-07 6,84 6,83 11,35 11,35 77,634 77,5205 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-08 6,825 6,815 11,35 11,35 77,46375 77,35025 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-09 6,76 6,75 11,33 11,33 76,5908 76,4775 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-10 6,745 6,735 11,2 11,2 75,544 75,432 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-11 6,765 6,755 11,21 11,21 75,83565 75,72355 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-14 6,76 6,75 11,16 11,16 75,4416 75,33 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-15 6,815 6,805 11,26 11,26 76,7369 76,6243 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-16 6,81 6,8 11,2 11,2 76,272 76,16 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-17 6,795 6,785 11,1 11,1 75,4245 75,3135 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-18 6,828 6,818 11,13 11,13 75,99564 75,88434 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-21 6,908 6,898 11,15 11,15 77,0242 76,9127 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-22 6,928 6,918 11,08 11,08 76,76224 76,65144 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-23 6,973 6,963 10,97 10,97 76,49381 76,38411 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-24 7,008 6,998 10,92 10,92 76,52736 76,41816 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-29 7,055 7,045 10,93 10,93 77,11115 77,00185 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-30 7,053 7,043 10,81 10,81 76,24293 76,13483 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-03-31 7,065 7,055 10,97 10,97 77,50305 77,39335 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-01 7,07 7,06 11 11 77,77 77,66 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-04 7,113 7,103 10,95 10,95 77,88735 77,77785 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-05 7,163 7,153 11 11 78,793 78,683 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-06 7,125 7,115 11 11 78,375 78,265 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-07 7,083 7,073 11,05 11,05 78,26715 78,15665 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-08 7,153 7,143 11,1 11,1 79,3983 79,2873 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-11 7,098 7,088 11 11 78,078 77,968 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-12 7,048 7,038 11,02 11,02 77,66896 77,55876 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-13 7,075 7,065 11,06 11,06 78,2495 78,1389 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-14 7,12 7,11 10,92 10,92 77,7504 77,6412 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-15 7,17 7,16 10,78 10,78 77,2926 77,1848 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-18 7,08 7,07 10,58 10,58 74,9064 74,8006 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-19 7,068 7,058 10,63 10,63 75,13284 75,02654 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-20 7,043 7,033 10,7 10,7 75,3601 75,2531 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-21 7,025 7,015 10,54 10,54 74,0435 73,9381 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-22 7,023 7,013 10,74 10,74 75,42702 75,31962 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-25 7,04 7,03 10,66 10,66 75,0464 74,9398 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-26 7,035 7,025 10,74 10,74 75,5559 75,4485 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-27 7,085 7,075 10,63 10,63 75,31355 75,20725 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-28 7,085 7,075 10,66 10,66 75,5261 75,4195 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-04-29 7,08 7,07 10,55 10,55 74,694 74,5885 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-03 7,178 7,168 10,73 10,73 77,01994 76,91264 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-04 7,11 7,1 10,68 10,68 75,9348 75,828 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-06 7,085 7,075 10,8 10,8 76,518 76,41 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-09 7,168 7,158 10,78 10,78 77,27104 77,16324 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-10 7,178 7,168 10,86 10,86 77,95308 77,84448 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-11 7,15 7,14 10,75 10,75 76,8625 76,755 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-12 7,243 7,233 10,8 10,8 78,2244 78,1164 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-13 7,265 7,255 10,64 10,64 77,2996 77,1932 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-17 7,313 7,303 10,66 10,66 77,95658 77,84998 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-18 7,3 7,29 10,75 10,75 78,475 78,3675 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-19 7,26 7,25 10,86 10,86 78,8436 78,735 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-20 7,28 7,27 10,91 10,91 79,4248 79,3157 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-23 7,32 7,31 10,91 10,91 79,8612 79,7521 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-24 7,295 7,285 10,98 10,98 80,0991 79,9893 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-25 7,298 7,288 10,98 10,98 80,13204 80,02224 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-26 7,33 7,32 10,94 10,94 80,1902 80,0808 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-27 7,338 7,328 11,01 11,01 80,79138 80,68128 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-05-30 7,338 7,328 11,02 11,02 80,86476 80,75456 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-01 7,428 7,418 10,96 10,96 81,41088 81,30128 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-02 7,473 7,463 11,07 11,07 82,72611 82,61541 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-03 7,438 7,428 11,08 11,08 82,41304 82,30224 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-07 7,448 7,438 11,07 11,07 82,44936 82,33866 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-08 7,435 7,425 11,08 11,08 82,3798 82,269 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-09 7,523 7,513 11,06 11,06 83,20438 83,09378 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-10 7,525 7,515 11,15 11,15 83,90375 83,79225 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-13 7,643 7,633 11,15 11,15 85,21945 85,10795 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-14 7,663 7,653 11,15 11,15 85,44245 85,33095 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-15 7,693 7,683 11,21 11,21 86,23853 86,12643 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-16 7,678 7,668 11,26 11,26 86,45428 86,34168 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-17 7,643 7,633 11,31 11,31 86,44233 86,32923 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-20 7,543 7,533 11,39 11,39 85,91477 85,80087 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-21 7,648 7,638 11,39 11,39 87,11072 86,99682 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-22 7,608 7,598 11,34 11,34 86,27472 86,16132 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-27 7,73 7,72 11,17 11,17 86,3441 86,2324 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-28 7,76 7,75 11,2 11,2 86,912 86,8 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-29 7,833 7,823 11,25 11,25 88,12125 88,00875 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-06-30 7,823 7,813 11,22 11,22 87,77406 87,66186 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-01 7,858 7,848 11,12 11,12 87,38096 87,26976 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-04 7,945 7,935 11,17 11,17 88,74565 88,63395 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-05 7,963 7,953 11,17 11,17 88,94671 88,83501 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-06 7,895 7,885 11,28 11,28 89,0556 88,9428 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-07 7,878 7,868 11,19 11,19 88,15482 88,04292 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-08 7,913 7,903 11,22 11,22 88,78386 88,67166 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-11 7,89 7,88 11,32 11,32 89,3148 89,2016 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-12 7,77 7,76 11,4 11,4 88,578 88,464 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-13 7,703 7,693 11,42 11,42 87,96826 87,85406 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-14 7,76 7,75 11,43 11,43 88,6968 88,5825 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-15 7,76 7,75 11,43 11,43 88,6968 88,5825 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-18 7,78 7,77 11,44 11,44 89,0032 88,8888 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-19 7,878 7,868 11,38 11,38 89,65164 89,53784 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-20 7,818 7,808 11,45 11,45 89,5161 89,4016 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-21 7,775 7,765 11,47 11,47 89,17925 89,06455 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-22 7,758 7,748 11,4 11,4 88,4412 88,3272 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-25 7,838 7,828 11,51 11,51 90,21538 90,10028 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-26 7,818 7,808 11,47 11,47 89,67246 89,55776 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-27 7,905 7,895 11,47 11,47 90,67035 90,55565 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-28 7,848 7,838 11,49 11,49 90,17352 90,05862 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-07-29 7,748 7,738 11,57 11,57 89,64436 89,52866 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-01 7,72 7,71 11,5 11,5 88,78 88,665 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-02 7,7 7,69 11,53 11,53 88,781 88,6657 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-03 7,685 7,675 11,56 11,56 88,8386 88,723 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-04 7,618 7,608 11,53 11,53 87,83554 87,72024 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-05 7,548 7,538 11,49 11,49 86,72652 86,61162 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-08 7,558 7,548 11,37 11,37 85,93446 85,82076 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-09 7,548 7,538 11,37 11,37 85,82076 85,70706 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-10 7,558 7,548 11,44 11,44 86,46352 86,34912 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-11 7,523 7,513 11,46 11,46 86,21358 86,09898 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-12 7,46 7,45 11,54 11,54 86,0884 85,973 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-16 7,523 7,513 11,5 11,5 86,5145 86,3995 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-17 7,605 7,595 11,36 11,36 86,3928 86,2792 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-18 7,61 7,6 11,34 11,34 86,2974 86,184 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-19 7,698 7,688 11,34 11,34 87,29532 87,18192 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-22 7,69 7,68 11,38 11,38 87,5122 87,3984 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-23 7,663 7,653 11,4 11,4 87,3582 87,2442 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-24 7,673 7,663 11,35 11,35 87,08855 86,97505 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-25 7,588 7,578 11,28 11,28 85,59264 85,47984 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-26 7,578 7,568 11,32 11,32 85,78296 85,66976 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-29 7,573 7,563 11,24 11,24 85,12052 85,00812 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-30 7,633 7,623 11,29 11,29 86,17657 86,06367 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-08-31 7,668 7,658 11,28 11,28 86,49504 86,38224 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-01 7,568 7,558 11,4 11,4 86,2752 86,1612 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-02 7,435 7,425 11,43 11,43 84,98205 84,86775 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-05 7,41 7,4 11,37 11,37 84,2517 84,138 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-06 7,485 7,475 11,37 11,37 85,10445 84,99075 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-07 7,43 7,42 11,49 11,49 85,3707 85,2558 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-08 7,498 7,488 11,53 11,53 86,45194 86,33664 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-09 7,523 7,513 11,48 11,48 86,36404 86,24924 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-12 7,555 7,545 11,57 11,57 87,41135 87,29565 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-13 7,57 7,56 11,54 11,54 87,3578 87,2424 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-14 7,61 7,6 11,43 11,43 86,9823 86,868 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-15 7,658 7,648 11,41 11,41 87,37778 87,26368 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-16 7,613 7,603 11,43 11,43 87,01659 86,90229 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-19 7,698 7,688 11,55 11,55 88,9119 88,7964 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-20 7,688 7,678 11,51 11,51 88,48888 88,37378 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-21 7,663 7,653 11,41 11,41 87,43483 87,32073 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-22 7,648 7,638 11,31 11,31 86,49888 86,38578 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-23 7,733 7,723 11,35 11,35 87,76955 87,65605 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-26 7,798 7,788 11,36 11,36 88,58528 88,47168 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-27 7,825 7,815 11,39 11,39 89,12675 89,01285 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-28 7,81 7,8 11,39 11,39 88,9559 88,842 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-29 7,785 7,775 11,4 11,4 88,749 88,635 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-09-30 7,785 7,775 11,49 11,49 89,44965 89,33475 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-03 7,783 7,773 11,48 11,48 89,34884 89,23404 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-04 7,82 7,81 11,47 11,47 89,6954 89,5807 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-05 7,795 7,785 11,31 11,31 88,16145 88,04835 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-06 7,713 7,703 11,14 11,14 85,92282 85,81142 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-07 7,683 7,673 11,06 11,06 84,97398 84,86338 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-10 7,698 7,688 11,11 11,11 85,52478 85,41368 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-11 7,77 7,76 11,03 11,03 85,7031 85,5928 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-12 7,805 7,795 11,05 11,05 86,24525 86,13475 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-13 7,83 7,82 10,96 10,96 85,8168 85,7072 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-14 7,833 7,823 10,89 10,89 85,30137 85,19247 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-17 7,835 7,825 11,01 11,01 86,26335 86,15325 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-18 7,893 7,883 11,05 11,05 87,21765 87,10715 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-19 7,96 7,95 10,86 10,86 86,4456 86,337 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-20 7,93 7,92 11,01 11,01 87,3093 87,1992 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-21 7,883 7,873 10,8 10,8 85,1364 85,0284 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-24 7,995 7,985 10,84 10,84 86,6658 86,5574 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-25 7,99 7,98 11,05 11,05 88,2895 88,179 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-26 7,868 7,858 11,06 11,06 87,02008 86,90948 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-27 7,868 7,858 11,01 11,01 86,62668 86,51658 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-28 7,825 7,815 10,89 10,89 85,21425 85,10535 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-10-31 7,905 7,895 11,1 11,1 87,7455 87,6345 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-02 7,98 7,97 11,16 11,16 89,0568 88,9452 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-03 8,01 8 11,29 11,29 90,4329 90,32 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-04 8,028 8,018 11,34 11,34 91,03752 90,92412 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-07 8,135 8,125 11,33 11,33 92,16955 92,05625 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-08 8,17 8,16 11,35 11,35 92,7295 92,616 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-09 8,12 8,11 11,32 11,32 91,9184 91,8052 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-10 8,173 8,163 11,31 11,31 92,43663 92,32353 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-11 8,235 8,225 11,37 11,37 93,63195 93,51825 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-14 8,133 8,123 11,4 11,4 92,7162 92,6022 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-15 8,185 8,175 11,4 11,4 93,309 93,195 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-16 8,21 8,2 11,36 11,36 93,2656 93,152 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-17 8,258 8,248 11,41 11,41 94,22378 94,10968 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-18 8,223 8,213 11,48 11,48 94,40004 94,28524 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-21 8,123 8,113 11,51 11,51 93,49573 93,38063 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-22 8,15 8,14 11,59 11,59 94,4585 94,3426 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-23 8,048 8,038 11,69 11,69 94,08112 93,96422 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-24 8,053 8,043 11,73 11,73 94,46169 94,34439 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-25 8,078 8,068 11,73 11,73 94,75494 94,63764 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-28 8,118 8,108 11,75 11,75 95,3865 95,269 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-29 8,015 8,005 11,63 11,63 93,21445 93,09815 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-11-30 8,088 8,078 11,64 11,64 94,14432 94,02792 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-01 8,083 8,073 11,57 11,57 93,52031 93,40461 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-02 8,103 8,093 11,71 11,71 94,88613 94,76903 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-05 8,045 8,035 11,71 11,71 94,20695 94,08985 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-06 7,993 7,983 11,69 11,69 93,43817 93,32127 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-07 8,015 8,005 11,71 11,71 93,85565 93,73855 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-08 7,988 7,978 11,64 11,64 92,98032 92,86392 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-12 7,953 7,943 11,68 11,68 92,89104 92,77424 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-13 7,905 7,895 11,68 11,68 92,3304 92,2136 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-14 7,848 7,838 11,74 11,74 92,13552 92,01812 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-15 7,858 7,848 11,8 11,8 92,7244 92,6064 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-16 7,903 7,893 11,77 11,77 93,01831 92,90061 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-19 7,865 7,855 11,73 11,73 92,25645 92,13915 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-20 7,848 7,838 11,66 11,66 91,50768 91,39108 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-21 7,948 7,938 11,68 11,68 92,83264 92,71584 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-22 7,98 7,97 11,71 11,71 93,4458 93,3287 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-23 7,955 7,945 11,76 11,76 93,5508 93,4332 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-27 8,01 8 11,76 11,76 94,1976 94,08 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-28 7,915 7,905 11,62 11,62 91,9723 91,8561 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-29 7,938 7,928 11,63 11,63 92,31894 92,20264 107201 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse Equity Fund (Lux) USA Value USD 2005-12-30 7,958 7,948 11,6 11,6 92,3128 92,1968 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-04 0,06545 0,06535 7663 7633 501,54335 498,81655 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-05 0,0653 0,0652 7597 7567 496,0841 493,3684 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-07 0,06565 0,06555 7604 7574 499,2026 496,4757 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-11 0,06651 0,06641 7673 7643 510,33123 507,57163 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-12 0,06685 0,06675 7604 7574 508,3274 505,5645 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-13 0,06685 0,06675 7543 7513 504,24955 501,49275 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-14 0,0672 0,0671 7578 7548 509,2416 506,4708 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-17 0,0679 0,0678 7589 7559 515,2931 512,5002 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-18 0,0679 0,0678 7556 7526 513,0524 510,2628 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-19 0,06745 0,06735 7546 7516 508,9777 506,2026 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-20 0,06765 0,06755 7469 7439 505,27785 502,50445 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-21 0,06725 0,06715 7455 7425 501,34875 498,58875 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-24 0,06745 0,06735 7494 7464 505,4703 502,7004 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-25 0,0674 0,0673 7483 7453 504,3542 501,5869 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-26 0,06755 0,06745 7534 7504 508,9217 506,1448 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-27 0,0672 0,0671 7510 7480 504,672 501,908 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-28 0,0677 0,0676 7509 7479 508,3593 505,5804 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-01-31 0,0676 0,0675 7533 7503 509,2308 506,4525 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-01 0,06725 0,06715 7538 7508 506,9305 504,1622 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-02 0,0671 0,067 7558 7528 507,1418 504,376 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-03 0,06695 0,06685 7538 7508 504,6691 501,9098 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-04 0,0671 0,067 7511 7481 503,9881 501,227 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-07 0,0677 0,0676 7558 7528 511,6766 508,8928 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-08 0,06765 0,06755 7576 7546 512,5164 509,7323 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-09 0,06725 0,06715 7582 7552 509,8895 507,1168 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-10 0,06715 0,06705 7623 7593 511,88445 509,11065 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-11 0,06695 0,06685 7623 7593 510,35985 507,59205 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-14 0,0671 0,067 7677 7647 515,1267 512,349 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-15 0,0667 0,0666 7681 7651 512,3227 509,5566 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-16 0,06635 0,06625 7672 7642 509,0372 506,2825 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-17 0,06615 0,06605 7645 7615 505,71675 502,97075 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-18 0,06615 0,06605 7685 7655 508,36275 505,61275 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-21 0,06605 0,06595 7680 7650 507,264 504,5175 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-22 0,06605 0,06595 7653 7623 505,48065 502,73685 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-23 0,0658 0,0657 7583 7553 498,9614 496,2321 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-24 0,0655 0,0654 7604 7574 498,062 495,3396 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-25 0,06545 0,06535 7670 7640 502,0015 499,274 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-02-28 0,06545 0,06535 7732 7702 506,0594 503,3257 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-01 0,06565 0,06555 7738 7708 507,9997 505,2594 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-02 0,06585 0,06575 7778 7746 512,1813 509,2995 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-03 0,06575 0,06565 7800 7768 512,85 509,9692 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-04 0,06545 0,06535 7817 7785 511,62265 508,74975 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-07 0,0652 0,0651 7871 7839 513,1892 510,3189 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-08 0,06505 0,06495 7847 7815 510,44735 507,58425 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-09 0,06465 0,06455 7887 7855 509,89455 507,04025 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-10 0,06485 0,06475 7848 7816 508,9428 506,086 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-11 0,065 0,0649 7869 7837 511,485 508,6213 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-14 0,0647 0,0646 7832 7800 506,7304 503,88 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-15 0,06505 0,06495 7817 7785 508,49585 505,63575 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-16 0,06535 0,06525 7860 7828 513,651 510,777 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-17 0,0652 0,0651 7808 7776 509,0816 506,2176 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-18 0,0652 0,0651 7873 7841 513,3196 510,4491 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-21 0,0657 0,0656 7873 7841 517,2561 514,3696 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-22 0,06595 0,06585 7861 7829 518,43295 515,53965 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-23 0,06615 0,06605 7808 7776 516,4992 513,6048 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-24 0,0659 0,0658 7767 7735 511,8453 508,963 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-29 0,06595 0,06585 7732 7702 509,9254 507,1767 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-30 0,06575 0,06565 7699 7669 506,20925 503,46985 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-03-31 0,06595 0,06585 7769 7737 512,36555 509,48145 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-01 0,06585 0,06575 7806 7774 514,0251 511,1405 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-04 0,06595 0,06585 7783 7751 513,28885 510,40335 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-05 0,06585 0,06575 7831 7799 515,67135 512,78425 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-06 0,06595 0,06585 7881 7849 519,75195 516,85665 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-07 0,06545 0,06535 7884 7852 516,0078 513,1282 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-08 0,0658 0,0657 7904 7872 520,0832 517,1904 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-11 0,06555 0,06545 7826 7794 512,9943 510,1173 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-12 0,06545 0,06535 7758 7728 507,7611 505,0248 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-13 0,0659 0,0658 7735 7705 509,7365 506,989 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-14 0,06615 0,06605 7688 7658 508,5612 505,8109 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-15 0,06625 0,06615 7576 7546 501,91 499,1679 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-18 0,0658 0,0657 7314 7284 481,2612 478,5588 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-19 0,06595 0,06585 7412 7382 488,8214 486,1047 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-20 0,0659 0,0658 7436 7406 490,0324 487,3148 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-21 0,0657 0,0656 7391 7361 485,5887 482,8816 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-22 0,06585 0,06575 7412 7382 488,0802 485,3665 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-25 0,0666 0,0665 7428 7398 494,7048 491,967 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-26 0,0664 0,0663 7414 7384 492,2896 489,5592 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-27 0,06675 0,06665 7410 7380 494,6175 491,877 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-04-28 0,0669 0,0668 7410 7380 495,729 492,984 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-03 0,06825 0,06815 7417 7387 506,21025 503,42405 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-04 0,0679 0,0678 7417 7387 503,6143 500,8386 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-06 0,0677 0,0676 7550 7520 511,135 508,352 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-09 0,06805 0,06795 7550 7520 513,7775 510,984 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-10 0,0678 0,0677 7532 7502 510,6696 507,8854 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-11 0,06765 0,06755 7504 7474 507,6456 504,8687 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-12 0,06815 0,06805 7476 7446 509,4894 506,7003 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-13 0,068 0,0679 7442 7412 506,056 503,2748 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-17 0,06825 0,06815 7313 7283 499,11225 496,33645 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-18 0,06785 0,06775 7289 7259 494,55865 491,79725 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-19 0,06775 0,06765 7440 7410 504,06 501,2865 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-20 0,0677 0,0676 7429 7399 502,9433 500,1724 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-23 0,06775 0,06765 7487 7457 507,24425 504,46605 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-24 0,0679 0,0678 7484 7454 508,1636 505,3812 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-25 0,06795 0,06785 7418 7388 504,0531 501,2758 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-26 0,06785 0,06775 7412 7382 502,9042 500,1305 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-27 0,06805 0,06795 7470 7440 508,3335 505,548 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-30 0,068 0,0679 7525 7495 511,7 508,9105 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-05-31 0,06835 0,06825 7525 7495 514,33375 511,53375 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-01 0,06855 0,06845 7559 7529 518,16945 515,36005 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-02 0,069 0,0689 7551 7521 521,019 518,1969 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-03 0,06895 0,06885 7543 7513 520,08985 517,27005 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-07 0,06975 0,06965 7499 7469 523,05525 520,21585 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-08 0,0696 0,0695 7548 7518 525,3408 522,501 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-09 0,0702 0,0701 7480 7450 525,096 522,245 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-10 0,0701 0,07 7549 7519 529,1849 526,33 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-13 0,07035 0,07025 7556 7526 531,5646 528,7015 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-14 0,0701 0,07 7569 7539 530,5869 527,73 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-15 0,07045 0,07035 7617 7587 536,61765 533,74545 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-16 0,07025 0,07015 7628 7598 535,867 532,9997 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-17 0,0702 0,0701 7705 7675 540,891 538,0175 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-20 0,06935 0,06925 7679 7649 532,53865 529,69325 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-21 0,06995 0,06985 7671 7641 536,58645 533,72385 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-22 0,07015 0,07005 7698 7668 540,0147 537,1434 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-27 0,07085 0,07075 7618 7588 539,7353 536,851 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-28 0,0707 0,0706 7666 7636 541,9862 539,1016 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-29 0,0711 0,071 7710 7680 548,181 545,28 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-06-30 0,0709 0,0708 7727 7697 547,8443 544,9476 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-01 0,07065 0,07055 7759 7729 548,17335 545,28095 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-04 0,07125 0,07115 7786 7754 554,7525 551,6971 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-05 0,07115 0,07105 7774 7742 553,1201 550,0691 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-06 0,07075 0,07065 7774 7742 550,0105 546,9723 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-07 0,07025 0,07015 7753 7723 544,64825 541,76845 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-08 0,07045 0,07035 7733 7703 544,78985 541,90605 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-11 0,0705 0,0704 7788 7756 549,054 546,0224 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-12 0,0699 0,0698 7795 7763 544,8705 541,8574 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-13 0,06915 0,06905 7786 7754 538,4019 535,4137 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-14 0,0694 0,0693 7831 7799 543,4714 540,4707 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-15 0,0694 0,0693 7849 7817 544,7206 541,7181 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-19 0,06995 0,06985 7833 7801 547,91835 544,89985 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-20 0,0691 0,069 7861 7829 543,1951 540,201 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-21 0,06925 0,06915 7846 7814 543,3355 540,3381 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-22 0,06995 0,06985 7794 7762 545,1903 542,1757 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-25 0,07005 0,06995 7810 7778 547,0905 544,0711 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-26 0,06995 0,06985 7799 7767 545,54005 542,52495 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-27 0,07015 0,07005 7864 7832 551,6596 548,6316 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-28 0,0697 0,0696 7883 7851 549,4451 546,4296 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-07-29 0,06915 0,06905 7911 7879 547,04565 544,04495 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-01 0,0689 0,0688 7959 7927 548,3751 545,3776 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-02 0,0691 0,069 7951 7919 549,4141 546,411 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-03 0,06885 0,06875 7977 7945 549,21645 546,21875 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-04 0,0686 0,0685 7929 7897 543,9294 540,9445 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-05 0,0678 0,0677 7839 7807 531,4842 528,5339 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-08 0,0674 0,0673 7853 7821 529,2922 526,3533 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-09 0,06745 0,06735 7940 7908 535,553 532,6038 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-10 0,06805 0,06795 8085 8053 550,18425 547,20135 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-11 0,06825 0,06815 8196 8164 559,377 556,3766 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-12 0,06805 0,06795 8214 8182 558,9627 555,9669 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-16 0,06895 0,06885 8248 8216 568,6996 565,6716 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-17 0,06915 0,06905 8230 8198 569,1045 566,0719 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-18 0,0691 0,069 8250 8218 570,075 567,042 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-19 0,06965 0,06955 8238 8206 573,7767 570,7273 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-22 0,07 0,0699 8372 8338 586,04 582,8262 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-23 0,06965 0,06955 8385 8351 584,01525 580,81205 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-24 0,0694 0,0693 8416 8382 584,0704 580,8726 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-25 0,06905 0,06895 8361 8327 577,32705 574,14665 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-26 0,069 0,0689 8386 8352 578,634 575,4528 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-29 0,0687 0,0686 8289 8255 569,4543 566,293 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-30 0,0688 0,0687 8405 8371 578,264 575,0877 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-08-31 0,0688 0,0687 8389 8355 577,1632 573,9885 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-01 0,06825 0,06815 8432 8398 575,484 572,3237 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-02 0,0678 0,0677 8474 8440 574,5372 571,388 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-05 0,06775 0,06765 8525 8491 577,56875 574,41615 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-06 0,06825 0,06815 8506 8472 580,5345 577,3668 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-07 0,0678 0,0677 8508 8474 576,8424 573,6898 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-08 0,068 0,0679 8469 8435 575,892 572,7365 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-09 0,0681 0,068 8563 8529 583,1403 579,972 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-12 0,06875 0,06865 8681 8647 596,81875 593,61655 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-13 0,0685 0,0684 8719 8685 597,2515 594,054 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-14 0,0688 0,0687 8689 8655 597,8032 594,5985 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-15 0,06925 0,06915 8797 8761 609,19225 605,82315 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-16 0,0688 0,0687 8807 8771 605,9216 602,5677 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-20 0,0691 0,069 8973 8937 620,0343 616,653 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-21 0,06865 0,06855 9022 8986 619,3603 615,9903 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-22 0,06875 0,06865 9011 8975 619,50625 616,13375 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-26 0,06935 0,06925 9216 9180 639,1296 635,715 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-27 0,0693 0,0692 9192 9156 637,0056 633,5952 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-28 0,06915 0,06905 9374 9336 648,2121 644,6508 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-29 0,06895 0,06885 9571 9533 659,92045 656,34705 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-09-30 0,06865 0,06855 9459 9421 649,36035 645,80955 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-03 0,06835 0,06825 9480 9442 647,958 644,4165 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-04 0,0685 0,0684 9546 9508 653,901 650,3472 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-05 0,06845 0,06835 9467 9429 648,01615 644,47215 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-06 0,06785 0,06775 9192 9156 623,6772 620,319 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-07 0,06775 0,06765 9199 9163 623,23225 619,87695 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-11 0,0681 0,068 9443 9405 643,0683 639,54 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-12 0,0681 0,068 9429 9391 642,1149 638,588 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-13 0,0682 0,0681 9437 9399 643,6034 640,0719 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-14 0,0684 0,0683 9369 9331 640,8396 637,3073 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-17 0,0686 0,0685 9330 9292 640,038 636,502 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-18 0,0684 0,0683 9343 9305 639,0612 635,5315 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-19 0,06865 0,06855 9243 9207 634,53195 631,13985 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-20 0,0686 0,0685 9257 9221 635,0302 631,6385 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-21 0,06845 0,06835 9258 9222 633,7101 630,3237 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-24 0,0692 0,0691 9191 9155 636,0172 632,6105 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-25 0,0691 0,069 9308 9270 643,1828 639,63 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-26 0,06825 0,06815 9394 9356 641,1405 637,6114 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-27 0,06825 0,06815 9490 9452 647,6925 644,1538 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-28 0,06795 0,06785 9448 9410 641,9916 638,4685 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-10-31 0,0684 0,0683 9616 9578 657,7344 654,1774 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-02 0,06825 0,06815 9835 9795 671,23875 667,52925 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-04 0,06825 0,06815 9984 9944 681,408 677,6836 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-07 0,069 0,0689 10006 9966 690,414 686,6574 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-08 0,0693 0,0692 10004 9964 693,2772 689,5088 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-09 0,0692 0,0691 9939 9899 687,7788 684,0209 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-10 0,06945 0,06935 9915 9875 688,59675 684,83125 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-11 0,0699 0,0698 9972 9932 697,0428 693,2536 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-14 0,0689 0,0688 9876 9836 680,4564 676,7168 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-15 0,0689 0,0688 9836 9796 677,7004 673,9648 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-16 0,06895 0,06885 9929 9889 684,60455 680,85765 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-17 0,06955 0,06945 10093 10053 701,96815 698,18085 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-18 0,0689 0,0688 10244 10204 705,8116 702,0352 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-21 0,0682 0,0681 10231 10191 697,7542 694,0071 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-22 0,06845 0,06835 10211 10171 698,94295 695,18785 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-23 0,068 0,0679 10211 10171 694,348 690,6109 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-24 0,06785 0,06775 10156 10116 689,0846 685,359 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-25 0,06775 0,06765 10249 10209 694,36975 690,63885 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-28 0,0677 0,0676 10333 10291 699,5441 695,6716 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-29 0,06735 0,06725 10318 10276 694,9173 691,061 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-11-30 0,0677 0,0676 10236 10196 692,9772 689,2496 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-01 0,06745 0,06735 10393 10351 701,00785 697,13985 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-02 0,0672 0,0671 10549 10507 708,8928 705,0197 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-05 0,06635 0,06625 10620 10578 704,637 700,7925 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-06 0,066 0,0659 10589 10547 698,874 695,0473 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-07 0,06635 0,06625 10650 10608 706,6275 702,78 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-08 0,06635 0,06625 10450 10408 693,3575 689,53 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-12 0,06595 0,06585 10779 10735 710,87505 706,89975 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-13 0,06585 0,06575 10839 10795 713,74815 709,77125 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-14 0,0662 0,0661 10661 10619 705,7582 701,9159 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-15 0,06745 0,06735 10524 10482 709,8438 705,9627 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-16 0,06805 0,06795 10508 10466 715,0694 711,1647 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-19 0,06765 0,06755 10578 10536 715,6017 711,7068 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-20 0,06735 0,06725 10733 10691 722,86755 718,96975 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-21 0,06795 0,06785 10876 10832 739,0242 734,9512 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-22 0,06795 0,06785 10888 10844 739,8396 735,7654 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-23 0,06825 0,06815 10888 10844 743,106 739,0186 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-27 0,06855 0,06845 10878 10834 745,6869 741,5873 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-28 0,06765 0,06755 10982 10938 742,9323 738,8619 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-29 0,0674 0,0673 11027 10983 743,2198 739,1559 848713 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on Nikkei 300 JPY 2005-12-30 0,06785 0,06775 10935 10891 741,93975 737,86525 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-03 6,668 6,658 93,86 93,48 625,85848 622,38984 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-04 6,728 6,718 93,11 92,73 626,44408 622,96014 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-05 6,828 6,818 92,02 91,66 628,31256 624,93788 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-07 6,87 6,86 92,02 91,66 632,1774 628,7876 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-10 6,96091 6,95091 91,88 91,52 639,5684108 636,1472832 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-11 6,96091 6,95091 92,2 91,84 641,795902 638,3715744 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-12 6,913 6,903 91,64 91,28 633,50732 630,10584 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-13 6,843 6,833 92 91,64 629,556 626,17612 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-14 6,915 6,905 91,21 90,85 630,71715 627,31925 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-17 6,915 6,905 91,75 91,39 634,45125 631,04795 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-19 6,91 6,9 92,65 92,29 640,2115 636,801 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-20 6,96 6,95 91,78 91,42 638,7888 635,369 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-21 6,978 6,968 91,07 90,71 635,48646 632,06728 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-24 6,933 6,923 90,48 90,12 627,29784 623,90076 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-25 6,95 6,94 90,17 89,81 626,6815 623,2814 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-26 6,995 6,985 90,52 90,16 633,1874 629,7676 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-27 6,93 6,92 90,96 90,6 630,3528 626,952 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-28 6,985 6,975 91 90,64 635,635 632,214 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-01-31 6,998 6,988 90,76 90,4 635,13848 631,7152 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-01 6,993 6,983 91,51 91,15 639,92943 636,50045 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-02 6,953 6,943 92,13 91,77 640,57989 637,15911 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-03 6,968 6,958 92,43 92,07 644,05224 640,62306 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-04 7,01 7 92,2 91,84 646,322 642,88 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-07 7,065 7,055 93,21 92,83 658,52865 654,91565 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-08 7,123 7,113 93,11 92,73 663,22253 659,58849 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-09 7,1 7,09 93,17 92,79 661,507 657,8811 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-10 7,088 7,078 92,38 92,02 654,78944 651,31756 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-11 7,068 7,058 92,78 92,4 655,76904 652,1592 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-14 7,03 7,02 93,42 93,04 656,7426 653,1408 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-15 7,005 6,995 93,49 93,11 654,89745 651,30445 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-16 6,973 6,963 93,82 93,44 654,20686 650,62272 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-17 6,97 6,96 93,84 93,46 654,0648 650,4816 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-18 6,965 6,955 93,1 92,72 648,4415 644,8676 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-21 6,978 6,968 93,16 92,78 650,07048 646,49104 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-22 6,905 6,895 93,16 92,78 643,2698 639,7181 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-23 6,895 6,885 91,8 91,44 632,961 629,5644 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-24 6,858 6,848 92,32 91,96 633,13056 629,74208 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-25 6,885 6,875 93,07 92,69 640,78695 637,24375 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-02-28 6,828 6,818 93,94 93,56 641,42232 637,89208 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-01 6,87 6,86 93,34 92,96 641,2458 637,7056 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-02 6,888 6,878 93,86 93,48 646,50768 642,95544 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-03 6,903 6,893 93,85 93,47 647,84655 644,28871 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-04 6,9 6,89 93,88 93,5 647,772 644,215 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-07 6,84 6,83 94,78 94,4 648,2952 644,752 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-08 6,825 6,815 95,02 94,64 648,5115 644,9716 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-09 6,76 6,75 94,57 94,19 639,2932 635,7825 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-10 6,745 6,735 93,62 93,24 631,4669 627,9714 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-11 6,765 6,755 93,8 93,42 634,557 631,0521 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-14 6,76 6,75 93,11 92,73 629,4236 625,9275 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-15 6,815 6,805 93,63 93,25 638,08845 634,56625 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-16 6,81 6,8 92,93 92,55 632,8533 629,34 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-17 6,795 6,785 92,17 91,81 626,29515 622,93085 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-18 6,828 6,818 92,34 91,98 630,49752 627,11964 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-21 6,908 6,898 92,27 91,91 637,40116 633,99518 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-22 6,928 6,918 91,83 91,47 636,19824 632,78946 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-23 6,973 6,963 90,9 90,54 633,8457 630,43002 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-24 7,008 6,998 90,96 90,6 637,44768 634,0188 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-29 7,055 7,045 91,11 90,75 642,78105 639,33375 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-30 7,053 7,043 90,43 90,07 637,80279 634,36301 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-03-31 7,065 7,055 91,67 91,31 647,64855 644,19205 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-01 7,07 7,06 91,61 91,25 647,6827 644,225 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-04 7,113 7,103 91,01 90,65 647,35413 643,88695 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-05 7,163 7,153 91,26 90,9 653,69538 650,2077 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-06 7,125 7,115 91,67 91,31 653,14875 649,67065 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-07 7,083 7,073 91,89 91,53 650,85687 647,39169 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-08 7,153 7,143 92,44 92,08 661,22332 657,72744 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-11 7,098 7,088 91,66 91,3 650,60268 647,1344 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-12 7,048 7,038 91,66 91,3 646,01968 642,5694 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-13 7,075 7,065 92,17 91,81 652,10275 648,63765 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-14 7,12 7,11 91,09 90,73 648,5608 645,0903 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-15 7,17 7,16 90,18 89,82 646,5906 643,1112 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-18 7,08 7,07 88,68 88,32 627,8544 624,4224 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-19 7,068 7,058 88,93 88,57 628,55724 625,12706 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-20 7,043 7,033 89,46 89,1 630,06678 626,6403 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-21 7,025 7,015 88,28 87,92 620,167 616,7588 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-22 7,023 7,013 90,01 89,65 632,14023 628,71545 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-25 7,04 7,03 89,42 89,06 629,5168 626,0918 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-26 7,035 7,025 90,18 89,82 634,4163 630,9855 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-27 7,085 7,075 89,38 89,02 633,2573 629,8165 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-28 7,085 7,075 89,74 89,38 635,8079 632,3635 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-04-29 7,08 7,07 88,74 88,38 628,2792 624,8466 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-03 7,178 7,168 90,2 89,84 647,4556 643,97312 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-04 7,11 7,1 90,12 89,76 640,7532 637,296 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-06 7,085 7,075 91,02 90,66 644,8767 641,4195 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-09 7,168 7,158 90,91 90,55 651,64288 648,1569 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-10 7,178 7,168 91,49 91,13 656,71522 653,21984 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-11 7,15 7,14 90,52 90,16 647,218 643,7424 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-12 7,243 7,233 90,93 90,57 658,60599 655,09281 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-13 7,265 7,255 90,02 89,66 653,9953 650,4833 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-17 7,313 7,303 90,53 90,17 662,04589 658,51151 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-18 7,3 7,29 91,16 90,8 665,468 661,932 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-19 7,26 7,25 92,08 91,72 668,5008 664,97 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-20 7,28 7,27 92,5 92,14 673,4 669,8578 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-23 7,32 7,31 92,36 92 676,0752 672,52 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-24 7,295 7,285 92,73 92,35 676,46535 672,76975 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-25 7,298 7,288 92,74 92,36 676,81652 673,11968 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-26 7,33 7,32 92,42 92,06 677,4386 673,8792 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-27 7,338 7,328 93,02 92,64 682,58076 678,86592 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-05-30 7,338 7,328 93,11 92,73 683,24118 679,52544 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-01 7,428 7,418 92,54 92,18 687,38712 683,79124 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-02 7,473 7,463 93,4 93,02 697,9782 694,20826 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-03 7,438 7,428 93,56 93,18 695,89928 692,14104 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-07 7,448 7,438 93,03 92,65 692,88744 689,1307 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-08 7,435 7,425 93,02 92,64 691,6037 687,852 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-09 7,523 7,513 92,83 92,45 698,36009 694,57685 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-10 7,525 7,515 93,31 92,93 702,15775 698,36895 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-13 7,643 7,633 93,09 92,71 711,48687 707,65543 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-14 7,663 7,653 93,32 92,94 715,11116 711,26982 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-15 7,693 7,683 93,55 93,17 719,68015 715,82511 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-16 7,678 7,668 93,77 93,39 719,96606 716,11452 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-17 7,643 7,633 94,11 93,73 719,28273 715,44109 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-20 7,543 7,533 94,56 94,18 713,26608 709,45794 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-21 7,648 7,638 94,5 94,12 722,736 718,88856 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-22 7,608 7,598 94,32 93,94 717,58656 713,75612 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-27 7,73 7,72 92,59 92,23 715,7207 712,0156 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-28 7,76 7,75 92,53 92,17 718,0328 714,3175 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-29 7,833 7,823 93,39 93,01 731,52387 727,61723 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-06-30 7,823 7,813 93,25 92,87 729,49475 725,59331 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-01 7,858 7,848 92,61 92,25 727,72938 723,978 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-04 7,945 7,935 92,86 92,48 737,7727 733,8288 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-05 7,963 7,953 92,86 92,48 739,44418 735,49344 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-06 7,895 7,885 93,67 93,29 739,52465 735,59165 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-07 7,878 7,868 92,91 92,53 731,94498 728,02604 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-08 7,913 7,903 93,14 92,76 737,01682 733,08228 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-11 7,89 7,88 94,22 93,84 743,3958 739,4592 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-12 7,77 7,76 94,81 94,43 736,6737 732,7768 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-13 7,703 7,693 95,02 94,64 731,93906 728,06552 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-14 7,76 7,75 95,11 94,73 738,0536 734,1575 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-15 7,76 7,75 95,36 94,98 739,9936 736,095 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-18 7,78 7,77 95,46 95,08 742,6788 738,7716 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-19 7,878 7,868 94,94 94,56 747,93732 743,99808 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-20 7,818 7,808 95,57 95,19 747,16626 743,24352 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-21 7,775 7,765 96,03 95,65 746,63325 742,72225 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-22 7,758 7,748 95,4 95,02 740,1132 736,21496 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-25 7,838 7,828 95,91 95,53 751,74258 747,80884 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-26 7,818 7,808 95,55 95,17 747,0099 743,08736 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-27 7,905 7,895 95,71 95,33 756,58755 752,63035 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-28 7,848 7,838 96,16 95,78 754,66368 750,72364 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-07-29 7,748 7,738 96,71 96,33 749,30908 745,40154 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-01 7,72 7,71 95,96 95,58 740,8112 736,9218 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-02 7,7 7,69 96,05 95,67 739,585 735,7023 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-03 7,685 7,675 96,73 96,35 743,37005 739,48625 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-04 7,618 7,608 96,82 96,44 737,57476 733,71552 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-05 7,548 7,538 96,1 95,72 725,3628 721,53736 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-08 7,558 7,548 95,37 94,99 720,80646 716,98452 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-09 7,548 7,538 95,12 94,74 717,96576 714,15012 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-10 7,558 7,548 95,76 95,38 723,75408 719,92824 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-11 7,523 7,513 95,61 95,23 719,27403 715,46299 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-12 7,46 7,45 96,29 95,91 718,3234 714,5295 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-16 7,523 7,513 95,99 95,61 722,13277 718,31793 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-17 7,605 7,595 94,87 94,49 721,48635 717,65155 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-18 7,61 7,6 94,96 94,58 722,6456 718,808 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-19 7,698 7,688 94,87 94,49 730,30926 726,43912 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-22 7,69 7,68 94,93 94,55 730,0117 726,144 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-23 7,663 7,653 95,08 94,7 728,59804 724,7391 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-24 7,673 7,663 94,76 94,38 727,09348 723,23394 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-25 7,588 7,578 94,13 93,75 714,25844 710,4375 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-26 7,578 7,568 94,35 93,97 714,9843 711,16496 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-29 7,573 7,563 93,77 93,39 710,12021 706,30857 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-30 7,633 7,623 94,34 93,96 720,09722 716,25708 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-08-31 7,668 7,658 94,04 93,66 721,09872 717,24828 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-01 7,568 7,558 94,99 94,61 718,88432 715,06238 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-02 7,435 7,425 95,08 94,7 706,9198 703,1475 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-05 7,41 7,4 94,8 94,42 702,468 698,708 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-06 7,485 7,475 94,8 94,42 709,578 705,7895 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-07 7,43 7,42 95,99 95,61 713,2057 709,4262 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-08 7,498 7,488 96,23 95,85 721,53254 717,7248 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-09 7,523 7,513 95,86 95,48 721,15478 717,34124 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-12 7,555 7,545 96,62 96,24 729,9641 726,1308 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-13 7,57 7,56 96,55 96,17 730,8835 727,0452 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-14 7,61 7,6 95,84 95,46 729,3424 725,496 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-15 7,658 7,648 95,54 95,16 731,64532 727,78368 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-16 7,613 7,603 95,58 95,2 727,65054 723,8056 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-19 7,698 7,688 96,36 95,98 741,77928 737,89424 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-20 7,688 7,678 95,83 95,45 736,74104 732,8651 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-21 7,663 7,653 95,08 94,7 728,59804 724,7391 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-22 7,648 7,638 94,22 93,84 720,59456 716,74992 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-23 7,733 7,723 94,58 94,2 731,38714 727,5066 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-26 7,798 7,788 94,62 94,24 737,84676 733,94112 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-27 7,825 7,815 94,65 94,27 740,63625 736,72005 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-28 7,81 7,8 94,65 94,27 739,2165 735,306 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-29 7,785 7,775 94,75 94,37 737,62875 733,72675 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-09-30 7,785 7,775 95,59 95,21 744,16815 740,25775 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-03 7,783 7,773 95,68 95,3 744,67744 740,7669 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-04 7,82 7,81 95,51 95,13 746,8882 742,9653 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-05 7,795 7,785 94,56 94,18 737,0952 733,1913 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-06 7,713 7,703 93,18 92,8 718,69734 714,8384 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-07 7,683 7,673 92,8 92,42 712,9824 709,13866 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-10 7,698 7,688 93,13 92,75 716,91474 713,062 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-11 7,77 7,76 92,46 92,1 718,4142 714,696 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-12 7,805 7,795 92,27 91,91 720,16735 716,43845 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-13 7,83 7,82 91,71 91,35 718,0893 714,357 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-14 7,833 7,823 91,65 91,29 717,89445 714,16167 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-17 7,835 7,825 92,41 92,05 724,03235 720,29125 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-18 7,893 7,883 92,7 92,32 731,6811 727,75856 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-19 7,96 7,95 91,76 91,4 730,4096 726,63 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-20 7,93 7,92 93,14 92,76 738,6002 734,6592 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-21 7,883 7,873 91,73 91,37 723,10759 719,35601 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-24 7,995 7,985 91,86 91,5 734,4207 730,6275 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-25 7,99 7,98 93,41 93,03 746,3459 742,3794 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-26 7,868 7,858 93,19 92,81 733,21892 729,30098 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-27 7,868 7,858 92,79 92,41 730,07172 726,15778 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-28 7,825 7,815 91,81 91,45 718,41325 714,68175 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-10-31 7,905 7,895 93,34 92,96 737,8527 733,9192 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-02 7,98 7,97 93,67 93,29 747,4866 743,5213 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-03 8,01 8 94,62 94,24 757,9062 753,92 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-04 8,028 8,018 95,04 94,66 762,98112 758,98388 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-07 8,135 8,125 95,05 94,67 773,23175 769,19375 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-08 8,17 8,16 95,26 94,88 778,2742 774,2208 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-09 8,12 8,11 94,97 94,59 771,1564 767,1249 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-10 8,173 8,163 95,13 94,75 777,49749 773,44425 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-11 8,235 8,225 95,94 95,56 790,0659 785,981 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-14 8,133 8,123 96,23 95,85 782,63859 778,58955 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-15 8,185 8,175 96,17 95,79 787,15145 783,08325 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-16 8,21 8,2 95,8 95,42 786,518 782,444 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-17 8,258 8,248 95,99 95,61 792,68542 788,59128 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-18 8,223 8,213 96,88 96,5 796,64424 792,5545 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-21 8,123 8,113 97,31 96,93 790,44913 786,39309 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-22 8,15 8,14 97,82 97,42 797,233 792,9988 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-23 8,048 8,038 98,32 97,92 791,27936 787,08096 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-24 8,053 8,043 98,67 98,27 794,58951 790,38561 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-25 8,078 8,068 98,67 98,27 797,05626 792,84236 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-28 8,118 8,108 98,86 98,46 802,54548 798,31368 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-29 8,015 8,005 98,04 97,64 785,7906 781,6082 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-11-30 8,088 8,078 98,04 97,64 792,94752 788,73592 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-01 8,083 8,073 97,43 97,05 787,52669 783,48465 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-02 8,103 8,093 98,61 98,21 799,03683 794,81353 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-05 8,045 8,035 98,64 98,24 793,5588 789,3584 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-06 7,993 7,983 98,41 98,01 786,59113 782,41383 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-07 8,015 8,005 98,57 98,17 790,03855 785,85085 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-08 7,988 7,978 98,09 97,69 783,54292 779,37082 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-12 7,953 7,943 98,25 97,85 781,38225 777,22255 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-13 7,905 7,895 98,33 97,93 777,29865 773,15735 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-14 7,848 7,838 98,88 98,48 776,01024 771,88624 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-15 7,858 7,848 99,32 98,92 780,45656 776,32416 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-16 7,903 7,893 99,18 98,78 783,81954 779,67054 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-19 7,865 7,855 98,88 98,48 777,6912 773,5604 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-20 7,848 7,838 98,31 97,91 771,53688 767,41858 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-21 7,948 7,938 98,29 97,89 781,20892 777,05082 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-22 7,98 7,97 98,53 98,13 786,2694 782,0961 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-23 7,955 7,945 98,96 98,56 787,2268 783,0592 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-27 8,01 8 99 98,6 792,99 788,8 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-28 7,915 7,905 98,06 97,66 776,1449 772,0023 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-29 7,938 7,928 98,19 97,79 779,43222 775,27912 812883 Credit Suisse Asset Management Fund Service (Lux) Credit Suisse IndexMatch (Lux) on S&P 500 USD 2005-12-30 7,958 7,948 97,9 97,5 779,0882 774,93 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-03 1 1 1622,52 1622,52 1622,52 1622,52 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-04 1 1 1625,99 1625,99 1625,99 1625,99 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-05 1 1 1617,51 1617,51 1617,51 1617,51 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-07 1 1 1620,1 1620,1 1620,1 1620,1 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-10 1 1 1630,17 1630,17 1630,17 1630,17 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-11 1 1 1624,31 1624,31 1624,31 1624,31 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-12 1 1 1613,48 1613,48 1613,48 1613,48 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-13 1 1 1604,59 1604,59 1604,59 1604,59 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-14 1 1 1608,33 1608,33 1608,33 1608,33 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-17 1 1 1615,33 1615,33 1615,33 1615,33 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-18 1 1 1609,49 1609,49 1609,49 1609,49 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-19 1 1 1620,75 1620,75 1620,75 1620,75 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-20 1 1 1607,17 1607,17 1607,17 1607,17 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-21 1 1 1606,1 1606,1 1606,1 1606,1 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-24 1 1 1593,73 1593,73 1593,73 1593,73 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-25 1 1 1599,42 1599,42 1599,42 1599,42 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-26 1 1 1604,51 1604,51 1604,51 1604,51 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-27 1 1 1610,98 1610,98 1610,98 1610,98 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-28 1 1 1603,98 1603,98 1603,98 1603,98 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-01-31 1 1 1611,7 1611,7 1611,7 1611,7 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-01 1 1 1613,53 1613,53 1613,53 1613,53 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-02 1 1 1626,03 1626,03 1626,03 1626,03 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-03 1 1 1621,61 1621,61 1621,61 1621,61 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-04 1 1 1628,54 1628,54 1628,54 1628,54 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-07 1 1 1640,05 1640,05 1640,05 1640,05 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-08 1 1 1642,08 1642,08 1642,08 1642,08 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-09 1 1 1647,42 1647,42 1647,42 1647,42 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-10 1 1 1635,29 1635,29 1635,29 1635,29 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-11 1 1 1641,78 1641,78 1641,78 1641,78 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-14 1 1 1646,28 1646,28 1646,28 1646,28 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-15 1 1 1647,93 1647,93 1647,93 1647,93 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-16 1 1 1582,57 1582,57 1582,57 1582,57 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-17 1 1 1587,18 1587,18 1587,18 1587,18 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-18 1 1 1576,25 1576,25 1576,25 1576,25 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-21 1 1 1578,58 1578,58 1578,58 1578,58 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-22 1 1 1570,94 1570,94 1570,94 1570,94 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-23 1 1 1578,51 1578,51 1578,51 1578,51 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-24 1 1 1582,28 1582,28 1582,28 1582,28 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-25 1 1 1588,86 1588,86 1588,86 1588,86 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-02-28 1 1 1594,37 1594,37 1594,37 1594,37 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-01 1 1 1593,47 1593,47 1593,47 1593,47 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-02 1 1 1595,57 1595,57 1595,57 1595,57 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-03 1 1 1603,99 1603,99 1603,99 1603,99 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-04 1 1 1609,8 1609,8 1609,8 1609,8 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-07 1 1 1607,79 1607,79 1607,79 1607,79 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-08 1 1 1607,2 1607,2 1607,2 1607,2 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-09 1 1 1599,39 1599,39 1599,39 1599,39 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-10 1 1 1591,32 1591,32 1591,32 1591,32 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-11 1 1 1594,15 1594,15 1594,15 1594,15 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-14 1 1 1594,38 1594,38 1594,38 1594,38 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-15 1 1 1601,32 1601,32 1601,32 1601,32 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-16 1 1 1593,39 1593,39 1593,39 1593,39 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-17 1 1 1594,45 1594,45 1594,45 1594,45 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-18 1 1 1594,32 1594,32 1594,32 1594,32 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-21 1 1 1587,77 1587,77 1587,77 1587,77 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-22 1 1 1587,2 1587,2 1587,2 1587,2 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-23 1 1 1582,94 1582,94 1582,94 1582,94 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-24 1 1 1596,02 1596,02 1596,02 1596,02 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-29 1 1 1600,35 1600,35 1600,35 1600,35 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-30 1 1 1595,07 1595,07 1595,07 1595,07 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-03-31 1 1 1601,68 1601,68 1601,68 1601,68 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-01 1 1 1604,29 1604,29 1604,29 1604,29 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-04 1 1 1603,98 1603,98 1603,98 1603,98 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-05 1 1 1613,46 1613,46 1613,46 1613,46 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-06 1 1 1624,59 1624,59 1624,59 1624,59 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-07 1 1 1624,03 1624,03 1624,03 1624,03 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-08 1 1 1629,22 1629,22 1629,22 1629,22 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-11 1 1 1628,41 1628,41 1628,41 1628,41 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-12 1 1 1627,01 1627,01 1627,01 1627,01 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-13 1 1 1634,64 1634,64 1634,64 1634,64 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-14 1 1 1640,07 1640,07 1640,07 1640,07 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-15 1 1 1628,41 1628,41 1628,41 1628,41 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-18 1 1 1610,13 1610,13 1610,13 1610,13 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-19 1 1 1616,63 1616,63 1616,63 1616,63 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-20 1 1 1622,55 1622,55 1622,55 1622,55 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-21 1 1 1617,04 1617,04 1617,04 1617,04 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-22 1 1 1630,81 1630,81 1630,81 1630,81 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-25 1 1 1626,13 1626,13 1626,13 1626,13 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-26 1 1 1620,6 1620,6 1620,6 1620,6 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-27 1 1 1602,46 1602,46 1602,46 1602,46 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-28 1 1 1589,54 1589,54 1589,54 1589,54 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-04-29 1 1 1596,88 1596,88 1596,88 1596,88 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-02 1 1 1604,37 1604,37 1604,37 1604,37 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-03 1 1 1608,37 1608,37 1608,37 1608,37 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-04 1 1 1610,55 1610,55 1610,55 1610,55 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-06 1 1 1620,16 1620,16 1620,16 1620,16 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-09 1 1 1620,98 1620,98 1620,98 1620,98 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-10 1 1 1617,82 1617,82 1617,82 1617,82 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-11 1 1 1619,84 1619,84 1619,84 1619,84 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-12 1 1 1622,58 1622,58 1622,58 1622,58 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-13 1 1 1631,79 1631,79 1631,79 1631,79 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-16 1 1 1630,99 1630,99 1630,99 1630,99 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-17 1 1 1634,82 1634,82 1634,82 1634,82 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-18 1 1 1642,3 1642,3 1642,3 1642,3 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-19 1 1 1643,34 1643,34 1643,34 1643,34 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-20 1 1 1641,8 1641,8 1641,8 1641,8 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-23 1 1 1644,14 1644,14 1644,14 1644,14 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-24 1 1 1646,69 1646,69 1646,69 1646,69 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-25 1 1 1650,54 1650,54 1650,54 1650,54 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-26 1 1 1652,92 1652,92 1652,92 1652,92 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-27 1 1 1653,05 1653,05 1653,05 1653,05 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-30 1 1 1653,46 1653,46 1653,46 1653,46 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-05-31 1 1 1658,74 1658,74 1658,74 1658,74 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-01 1 1 1657,24 1657,24 1657,24 1657,24 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-02 1 1 1656,57 1656,57 1656,57 1656,57 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-03 1 1 1660,05 1660,05 1660,05 1660,05 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-07 1 1 1658,22 1658,22 1658,22 1658,22 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-08 1 1 1668,47 1668,47 1668,47 1668,47 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-09 1 1 1667,68 1667,68 1667,68 1667,68 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-10 1 1 1674,1 1674,1 1674,1 1674,1 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-13 1 1 1672,52 1672,52 1672,52 1672,52 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-14 1 1 1675,46 1675,46 1675,46 1675,46 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-15 1 1 1679,96 1679,96 1679,96 1679,96 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-16 1 1 1673,47 1673,47 1673,47 1673,47 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-17 1 1 1681,8 1681,8 1681,8 1681,8 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-20 1 1 1680,07 1680,07 1680,07 1680,07 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-21 1 1 1685,56 1685,56 1685,56 1685,56 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-22 1 1 1694,49 1694,49 1694,49 1694,49 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-23 1 1 1702,73 1702,73 1702,73 1702,73 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-27 1 1 1688,01 1688,01 1688,01 1688,01 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-28 1 1 1690,53 1690,53 1690,53 1690,53 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-29 1 1 1699,45 1699,45 1699,45 1699,45 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-06-30 1 1 1706,67 1706,67 1706,67 1706,67 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-01 1 1 1709,41 1709,41 1709,41 1709,41 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-04 1 1 1714,86 1714,86 1714,86 1714,86 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-05 1 1 1714,39 1714,39 1714,39 1714,39 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-06 1 1 1715,61 1715,61 1715,61 1715,61 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-07 1 1 1699,4 1699,4 1699,4 1699,4 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-08 1 1 1713,45 1713,45 1713,45 1713,45 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-11 1 1 1726,29 1726,29 1726,29 1726,29 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-12 1 1 1728,12 1728,12 1728,12 1728,12 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-13 1 1 1731,45 1731,45 1731,45 1731,45 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-14 1 1 1733,89 1733,89 1733,89 1733,89 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-15 1 1 1731,38 1731,38 1731,38 1731,38 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-18 1 1 1729,41 1729,41 1729,41 1729,41 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-19 1 1 1726,45 1726,45 1726,45 1726,45 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-20 1 1 1723,9 1723,9 1723,9 1723,9 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-21 1 1 1733,02 1733,02 1733,02 1733,02 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-22 1 1 1739,17 1739,17 1739,17 1739,17 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-25 1 1 1738,91 1738,91 1738,91 1738,91 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-26 1 1 1741,71 1741,71 1741,71 1741,71 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-27 1 1 1745,41 1745,41 1745,41 1745,41 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-28 1 1 1751,67 1751,67 1751,67 1751,67 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-07-29 1 1 1752,1 1752,1 1752,1 1752,1 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-01 1 1 1748,55 1748,55 1748,55 1748,55 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-02 1 1 1752,61 1752,61 1752,61 1752,61 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-03 1 1 1754,01 1754,01 1754,01 1754,01 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-04 1 1 1748,92 1748,92 1748,92 1748,92 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-05 1 1 1744,28 1744,28 1744,28 1744,28 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-08 1 1 1744,56 1744,56 1744,56 1744,56 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-09 1 1 1744,92 1744,92 1744,92 1744,92 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-10 1 1 1756,76 1756,76 1756,76 1756,76 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-11 1 1 1752,11 1752,11 1752,11 1752,11 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-12 1 1 1748,45 1748,45 1748,45 1748,45 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-15 1 1 1748,56 1748,56 1748,56 1748,56 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-16 1 1 1752,13 1752,13 1752,13 1752,13 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-17 1 1 1742,31 1742,31 1742,31 1742,31 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-18 1 1 1745,85 1745,85 1745,85 1745,85 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-19 1 1 1748,1 1748,1 1748,1 1748,1 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-22 1 1 1748,05 1748,05 1748,05 1748,05 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-23 1 1 1744,97 1744,97 1744,97 1744,97 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-24 1 1 1728,91 1728,91 1728,91 1728,91 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-25 1 1 1722,01 1722,01 1722,01 1722,01 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-26 1 1 1715,07 1715,07 1715,07 1715,07 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-29 1 1 1713,69 1713,69 1713,69 1713,69 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-30 1 1 1720,88 1720,88 1720,88 1720,88 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-08-31 1 1 1727,57 1727,57 1727,57 1727,57 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-01 1 1 1735,79 1735,79 1735,79 1735,79 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-02 1 1 1732,69 1732,69 1732,69 1732,69 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-05 1 1 1739,09 1739,09 1739,09 1739,09 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-06 1 1 1745,38 1745,38 1745,38 1745,38 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-07 1 1 1747,99 1747,99 1747,99 1747,99 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-08 1 1 1747,23 1747,23 1747,23 1747,23 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-09 1 1 1752,32 1752,32 1752,32 1752,32 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-12 1 1 1753,91 1753,91 1753,91 1753,91 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-13 1 1 1751,34 1751,34 1751,34 1751,34 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-14 1 1 1755,28 1755,28 1755,28 1755,28 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-15 1 1 1752,39 1752,39 1752,39 1752,39 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-16 1 1 1755,28 1755,28 1755,28 1755,28 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-19 1 1 1758,98 1758,98 1758,98 1758,98 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-20 1 1 1756,22 1756,22 1756,22 1756,22 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-21 1 1 1754,37 1754,37 1754,37 1754,37 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-22 1 1 1751,57 1751,57 1751,57 1751,57 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-23 1 1 1753,6 1753,6 1753,6 1753,6 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-26 1 1 1763,14 1763,14 1763,14 1763,14 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-27 1 1 1770,42 1770,42 1770,42 1770,42 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-28 1 1 1775,97 1775,97 1775,97 1775,97 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-29 1 1 1781,53 1781,53 1781,53 1781,53 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-09-30 1 1 1784,44 1784,44 1784,44 1784,44 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-03 1 1 1784,41 1784,41 1784,41 1784,41 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-04 1 1 1783,62 1783,62 1783,62 1783,62 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-05 1 1 1779,49 1779,49 1779,49 1779,49 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-06 1 1 1768,2 1768,2 1768,2 1768,2 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-07 1 1 1767,2 1767,2 1767,2 1767,2 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-10 1 1 1776,58 1776,58 1776,58 1776,58 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-11 1 1 1777,82 1777,82 1777,82 1777,82 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-12 1 1 1767,34 1767,34 1767,34 1767,34 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-13 1 1 1757,61 1757,61 1757,61 1757,61 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-14 1 1 1757,74 1757,74 1757,74 1757,74 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-17 1 1 1756,08 1756,08 1756,08 1756,08 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-18 1 1 1751,17 1751,17 1751,17 1751,17 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-19 1 1 1735,12 1735,12 1735,12 1735,12 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-20 1 1 1738,42 1738,42 1738,42 1738,42 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-21 1 1 1728,5 1728,5 1728,5 1728,5 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-24 1 1 1738,21 1738,21 1738,21 1738,21 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-25 1 1 1747,35 1747,35 1747,35 1747,35 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-26 1 1 1751,53 1751,53 1751,53 1751,53 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-27 1 1 1743,38 1743,38 1743,38 1743,38 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-28 1 1 1739,59 1739,59 1739,59 1739,59 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-10-31 1 1 1754,29 1754,29 1754,29 1754,29 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-01 1 1 1761,88 1761,88 1761,88 1761,88 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-02 1 1 1761,11 1761,11 1761,11 1761,11 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-03 1 1 1780,44 1780,44 1780,44 1780,44 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-04 1 1 1777,16 1777,16 1777,16 1777,16 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-07 1 1 1780,82 1780,82 1780,82 1780,82 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-08 1 1 1779,92 1779,92 1779,92 1779,92 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-09 1 1 1780,81 1780,81 1780,81 1780,81 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-10 1 1 1782,97 1782,97 1782,97 1782,97 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-11 1 1 1790,67 1790,67 1790,67 1790,67 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-14 1 1 1796,04 1796,04 1796,04 1796,04 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-15 1 1 1792,83 1792,83 1792,83 1792,83 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-16 1 1 1791,59 1791,59 1791,59 1791,59 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-17 1 1 1796,88 1796,88 1796,88 1796,88 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-18 1 1 1803,03 1803,03 1803,03 1803,03 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-21 1 1 1803,84 1803,84 1803,84 1803,84 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-22 1 1 1804,25 1804,25 1804,25 1804,25 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-23 1 1 1802,95 1802,95 1802,95 1802,95 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-24 1 1 1802,31 1802,31 1802,31 1802,31 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-25 1 1 1806,74 1806,74 1806,74 1806,74 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-28 1 1 1810,92 1810,92 1810,92 1810,92 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-29 1 1 1807,99 1807,99 1807,99 1807,99 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-11-30 1 1 1802,07 1802,07 1802,07 1802,07 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-01 1 1 1812,99 1812,99 1812,99 1812,99 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-02 1 1 1817,92 1817,92 1817,92 1817,92 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-05 1 1 1820,69 1820,69 1820,69 1820,69 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-06 1 1 1825,68 1825,68 1825,68 1825,68 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-07 1 1 1826,42 1826,42 1826,42 1826,42 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-08 1 1 1825,85 1825,85 1825,85 1825,85 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-12 1 1 1825,05 1825,05 1825,05 1825,05 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-13 1 1 1823,85 1823,85 1823,85 1823,85 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-14 1 1 1823 1823 1823 1823 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-15 1 1 1822,33 1822,33 1822,33 1822,33 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-16 1 1 1826,32 1826,32 1826,32 1826,32 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-19 1 1 1832,71 1832,71 1832,71 1832,71 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-20 1 1 1831,75 1831,75 1831,75 1831,75 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-21 1 1 1835,21 1835,21 1835,21 1835,21 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-22 1 1 1837,17 1837,17 1837,17 1837,17 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-23 1 1 1845,13 1845,13 1845,13 1845,13 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-27 1 1 1853,64 1853,64 1853,64 1853,64 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-28 1 1 1850,97 1850,97 1850,97 1850,97 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-29 1 1 1853,3 1853,3 1853,3 1853,3 829945 Danske Capital Sverige AB Danske Fonder Aktiv Förmögenhetsförvaltning SEK 2005-12-30 1 1 1850,88 1850,88 1850,88 1850,88 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-06-17 1 1 112,3 112,3 112,3 112,3 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-06-20 1 1 112,02 112,02 112,02 112,02 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-06-21 1 1 112,47 112,47 112,47 112,47 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-06-22 1 1 112,82 112,82 112,82 112,82 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-06-23 1 1 112,96 112,96 112,96 112,96 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-06-27 1 1 112,97 112,97 112,97 112,97 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-06-28 1 1 112,99 112,99 112,99 112,99 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-06-29 1 1 113,76 113,76 113,76 113,76 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-06-30 1 1 114,02 114,02 114,02 114,02 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-01 1 1 114,05 114,05 114,05 114,05 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-04 1 1 114,63 114,63 114,63 114,63 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-05 1 1 114,64 114,64 114,64 114,64 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-06 1 1 114,5 114,5 114,5 114,5 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-07 1 1 113,92 113,92 113,92 113,92 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-08 1 1 114,24 114,24 114,24 114,24 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-11 1 1 114,96 114,96 114,96 114,96 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-12 1 1 114,84 114,84 114,84 114,84 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-13 1 1 114,85 114,85 114,85 114,85 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-14 1 1 115 115 115 115 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-15 1 1 115,02 115,02 115,02 115,02 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-18 1 1 115,02 115,02 115,02 115,02 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-19 1 1 115,06 115,06 115,06 115,06 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-20 1 1 114,97 114,97 114,97 114,97 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-21 1 1 115,5 115,5 115,5 115,5 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-22 1 1 115,4 115,4 115,4 115,4 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-25 1 1 115,6 115,6 115,6 115,6 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-26 1 1 115,54 115,54 115,54 115,54 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-27 1 1 116,1 116,1 116,1 116,1 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-28 1 1 116,31 116,31 116,31 116,31 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-07-29 1 1 116,43 116,43 116,43 116,43 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-01 1 1 116,1 116,1 116,1 116,1 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-02 1 1 116,32 116,32 116,32 116,32 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-03 1 1 116,57 116,57 116,57 116,57 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-04 1 1 116,14 116,14 116,14 116,14 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-05 1 1 115,65 115,65 115,65 115,65 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-08 1 1 115,57 115,57 115,57 115,57 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-09 1 1 115,77 115,77 115,77 115,77 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-10 1 1 116,27 116,27 116,27 116,27 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-11 1 1 116,17 116,17 116,17 116,17 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-12 1 1 115,91 115,91 115,91 115,91 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-15 1 1 115,9 115,9 115,9 115,9 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-16 1 1 115,97 115,97 115,97 115,97 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-17 1 1 115,88 115,88 115,88 115,88 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-18 1 1 115,95 115,95 115,95 115,95 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-19 1 1 116,12 116,12 116,12 116,12 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-22 1 1 116,21 116,21 116,21 116,21 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-23 1 1 116,21 116,21 116,21 116,21 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-24 1 1 115,64 115,64 115,64 115,64 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-25 1 1 115,03 115,03 115,03 115,03 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-26 1 1 114,97 114,97 114,97 114,97 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-29 1 1 114,65 114,65 114,65 114,65 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-30 1 1 115,17 115,17 115,17 115,17 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-08-31 1 1 115,66 115,66 115,66 115,66 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-01 1 1 116,07 116,07 116,07 116,07 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-02 1 1 116,17 116,17 116,17 116,17 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-05 1 1 116,39 116,39 116,39 116,39 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-06 1 1 116,64 116,64 116,64 116,64 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-07 1 1 116,96 116,96 116,96 116,96 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-08 1 1 117,05 117,05 117,05 117,05 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-09 1 1 117,38 117,38 117,38 117,38 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-12 1 1 117,77 117,77 117,77 117,77 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-13 1 1 117,84 117,84 117,84 117,84 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-14 1 1 117,96 117,96 117,96 117,96 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-15 1 1 117,99 117,99 117,99 117,99 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-16 1 1 118,25 118,25 118,25 118,25 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-19 1 1 118,75 118,75 118,75 118,75 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-20 1 1 118,78 118,78 118,78 118,78 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-21 1 1 118,7 118,7 118,7 118,7 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-22 1 1 118,51 118,51 118,51 118,51 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-23 1 1 118,8 118,8 118,8 118,8 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-26 1 1 119,24 119,24 119,24 119,24 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-27 1 1 119,72 119,72 119,72 119,72 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-28 1 1 120,04 120,04 120,04 120,04 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-29 1 1 120,23 120,23 120,23 120,23 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-09-30 1 1 120,31 120,31 120,31 120,31 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-03 1 1 120,3 120,3 120,3 120,3 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-04 1 1 120,48 120,48 120,48 120,48 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-05 1 1 120,43 120,43 120,43 120,43 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-06 1 1 119,43 119,43 119,43 119,43 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-07 1 1 118,64 118,64 118,64 118,64 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-10 1 1 119,03 119,03 119,03 119,03 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-11 1 1 119,35 119,35 119,35 119,35 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-12 1 1 119,14 119,14 119,14 119,14 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-13 1 1 118,75 118,75 118,75 118,75 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-14 1 1 118,25 118,25 118,25 118,25 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-17 1 1 118,31 118,31 118,31 118,31 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-18 1 1 118,53 118,53 118,53 118,53 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-19 1 1 117,75 117,75 117,75 117,75 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-20 1 1 117,86 117,86 117,86 117,86 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-21 1 1 117,25 117,25 117,25 117,25 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-24 1 1 117,77 117,77 117,77 117,77 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-25 1 1 118,57 118,57 118,57 118,57 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-26 1 1 118,24 118,24 118,24 118,24 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-27 1 1 118,1 118,1 118,1 118,1 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-28 1 1 117,34 117,34 117,34 117,34 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-10-31 1 1 118,38 118,38 118,38 118,38 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-01 1 1 118,57 118,57 118,57 118,57 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-02 1 1 118,56 118,56 118,56 118,56 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-03 1 1 120,21 120,21 120,21 120,21 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-04 1 1 120,81 120,81 120,81 120,81 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-07 1 1 121,1 121,1 121,1 121,1 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-08 1 1 121,27 121,27 121,27 121,27 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-09 1 1 120,91 120,91 120,91 120,91 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-10 1 1 121,3 121,3 121,3 121,3 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-11 1 1 121,87 121,87 121,87 121,87 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-14 1 1 121,56 121,56 121,56 121,56 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-15 1 1 121,36 121,36 121,36 121,36 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-16 1 1 121,5 121,5 121,5 121,5 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-17 1 1 122,03 122,03 122,03 122,03 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-18 1 1 122,33 122,33 122,33 122,33 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-21 1 1 121,97 121,97 121,97 121,97 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-22 1 1 122 122 122 122 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-23 1 1 121,77 121,77 121,77 121,77 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-24 1 1 121,88 121,88 121,88 121,88 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-25 1 1 122,12 122,12 122,12 122,12 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-28 1 1 122,39 122,39 122,39 122,39 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-29 1 1 121,94 121,94 121,94 121,94 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-11-30 1 1 121,97 121,97 121,97 121,97 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-01 1 1 122,33 122,33 122,33 122,33 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-02 1 1 122,43 122,43 122,43 122,43 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-05 1 1 123,06 123,06 123,06 123,06 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-06 1 1 123,18 123,18 123,18 123,18 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-07 1 1 122,95 122,95 122,95 122,95 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-08 1 1 122,44 122,44 122,44 122,44 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-12 1 1 122,78 122,78 122,78 122,78 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-13 1 1 122,86 122,86 122,86 122,86 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-14 1 1 122,69 122,69 122,69 122,69 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-15 1 1 122,78 122,78 122,78 122,78 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-16 1 1 122,9 122,9 122,9 122,9 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-19 1 1 123,44 123,44 123,44 123,44 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-20 1 1 123,5 123,5 123,5 123,5 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-21 1 1 124,14 124,14 124,14 124,14 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-22 1 1 124,29 124,29 124,29 124,29 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-23 1 1 124,55 124,55 124,55 124,55 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-27 1 1 125,05 125,05 125,05 125,05 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-28 1 1 124,85 124,85 124,85 124,85 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-29 1 1 124,82 124,82 124,82 124,82 927632 Danske Capital Sverige AB Danske Fonder Balanserad SEK 2005-12-30 1 1 124,83 124,83 124,83 124,83 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-06-17 1 1 113,14 113,14 113,14 113,14 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-06-20 1 1 113,01 113,01 113,01 113,01 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-06-21 1 1 113,31 113,31 113,31 113,31 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-06-22 1 1 113,64 113,64 113,64 113,64 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-06-23 1 1 113,72 113,72 113,72 113,72 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-06-27 1 1 113,7 113,7 113,7 113,7 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-06-28 1 1 113,73 113,73 113,73 113,73 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-06-29 1 1 114,19 114,19 114,19 114,19 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-06-30 1 1 114,35 114,35 114,35 114,35 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-01 1 1 114,38 114,38 114,38 114,38 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-04 1 1 114,38 114,38 114,38 114,38 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-05 1 1 114,65 114,65 114,65 114,65 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-06 1 1 114,58 114,58 114,58 114,58 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-07 1 1 114,24 114,24 114,24 114,24 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-08 1 1 114,47 114,47 114,47 114,47 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-11 1 1 114,88 114,88 114,88 114,88 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-12 1 1 114,8 114,8 114,8 114,8 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-13 1 1 114,79 114,79 114,79 114,79 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-14 1 1 114,88 114,88 114,88 114,88 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-15 1 1 114,85 114,85 114,85 114,85 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-18 1 1 114,87 114,87 114,87 114,87 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-19 1 1 114,88 114,88 114,88 114,88 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-20 1 1 114,82 114,82 114,82 114,82 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-21 1 1 115,13 115,13 115,13 115,13 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-22 1 1 115,12 115,12 115,12 115,12 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-25 1 1 115,27 115,27 115,27 115,27 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-26 1 1 115,24 115,24 115,24 115,24 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-27 1 1 115,58 115,58 115,58 115,58 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-28 1 1 115,67 115,67 115,67 115,67 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-07-29 1 1 115,72 115,72 115,72 115,72 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-01 1 1 115,44 115,44 115,44 115,44 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-02 1 1 115,5 115,5 115,5 115,5 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-03 1 1 115,61 115,61 115,61 115,61 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-04 1 1 115,39 115,39 115,39 115,39 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-05 1 1 115,06 115,06 115,06 115,06 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-08 1 1 115 115 115 115 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-09 1 1 115,11 115,11 115,11 115,11 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-10 1 1 115,46 115,46 115,46 115,46 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-11 1 1 115,41 115,41 115,41 115,41 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-12 1 1 115,29 115,29 115,29 115,29 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-15 1 1 115,3 115,3 115,3 115,3 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-16 1 1 115,38 115,38 115,38 115,38 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-17 1 1 115,3 115,3 115,3 115,3 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-18 1 1 115,35 115,35 115,35 115,35 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-19 1 1 115,47 115,47 115,47 115,47 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-22 1 1 115,55 115,55 115,55 115,55 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-23 1 1 115,55 115,55 115,55 115,55 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-24 1 1 115,17 115,17 115,17 115,17 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-25 1 1 114,82 114,82 114,82 114,82 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-26 1 1 114,78 114,78 114,78 114,78 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-29 1 1 114,55 114,55 114,55 114,55 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-30 1 1 114,86 114,86 114,86 114,86 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-08-31 1 1 115,16 115,16 115,16 115,16 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-01 1 1 115,45 115,45 115,45 115,45 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-02 1 1 115,49 115,49 115,49 115,49 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-05 1 1 115,62 115,62 115,62 115,62 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-06 1 1 115,78 115,78 115,78 115,78 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-07 1 1 115,97 115,97 115,97 115,97 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-08 1 1 116,03 116,03 116,03 116,03 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-09 1 1 116,26 116,26 116,26 116,26 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-12 1 1 116,42 116,42 116,42 116,42 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-13 1 1 116,4 116,4 116,4 116,4 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-14 1 1 116,52 116,52 116,52 116,52 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-15 1 1 116,51 116,51 116,51 116,51 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-16 1 1 116,6 116,6 116,6 116,6 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-19 1 1 116,86 116,86 116,86 116,86 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-20 1 1 116,89 116,89 116,89 116,89 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-21 1 1 116,88 116,88 116,88 116,88 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-22 1 1 116,77 116,77 116,77 116,77 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-23 1 1 116,89 116,89 116,89 116,89 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-26 1 1 117,16 117,16 117,16 117,16 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-27 1 1 117,16 117,16 117,16 117,16 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-28 1 1 117,59 117,59 117,59 117,59 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-29 1 1 117,75 117,75 117,75 117,75 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-09-30 1 1 117,8 117,8 117,8 117,8 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-03 1 1 117,77 117,77 117,77 117,77 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-04 1 1 117,79 117,79 117,79 117,79 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-05 1 1 117,76 117,76 117,76 117,76 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-06 1 1 117,17 117,17 117,17 117,17 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-07 1 1 116,76 116,76 116,76 116,76 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-10 1 1 117,03 117,03 117,03 117,03 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-11 1 1 117,2 117,2 117,2 117,2 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-12 1 1 117,02 117,02 117,02 117,02 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-13 1 1 116,76 116,76 116,76 116,76 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-14 1 1 116,59 116,59 116,59 116,59 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-17 1 1 116,62 116,62 116,62 116,62 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-18 1 1 116,67 116,67 116,67 116,67 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-19 1 1 116,22 116,22 116,22 116,22 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-20 1 1 116,33 116,33 116,33 116,33 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-21 1 1 115,99 115,99 115,99 115,99 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-24 1 1 116,36 116,36 116,36 116,36 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-25 1 1 116,79 116,79 116,79 116,79 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-26 1 1 116,57 116,57 116,57 116,57 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-27 1 1 116,47 116,47 116,47 116,47 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-28 1 1 116,02 116,02 116,02 116,02 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-10-31 1 1 116,63 116,63 116,63 116,63 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-01 1 1 116,77 116,77 116,77 116,77 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-02 1 1 116,73 116,73 116,73 116,73 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-03 1 1 117,68 117,68 117,68 117,68 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-04 1 1 117,94 117,94 117,94 117,94 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-07 1 1 118,09 118,09 118,09 118,09 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-08 1 1 118,15 118,15 118,15 118,15 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-09 1 1 117,98 117,98 117,98 117,98 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-10 1 1 118,2 118,2 118,2 118,2 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-11 1 1 118,54 118,54 118,54 118,54 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-14 1 1 118,44 118,44 118,44 118,44 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-15 1 1 118,32 118,32 118,32 118,32 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-16 1 1 118,42 118,42 118,42 118,42 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-17 1 1 118,74 118,74 118,74 118,74 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-18 1 1 118,92 118,92 118,92 118,92 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-21 1 1 118,7 118,7 118,7 118,7 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-22 1 1 118,76 118,76 118,76 118,76 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-23 1 1 118,67 118,67 118,67 118,67 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-24 1 1 118,74 118,74 118,74 118,74 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-25 1 1 118,9 118,9 118,9 118,9 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-28 1 1 119,04 119,04 119,04 119,04 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-29 1 1 118,75 118,75 118,75 118,75 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-11-30 1 1 118,72 118,72 118,72 118,72 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-01 1 1 118,98 118,98 118,98 118,98 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-02 1 1 119 119 119 119 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-05 1 1 119,32 119,32 119,32 119,32 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-06 1 1 119,4 119,4 119,4 119,4 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-07 1 1 119,26 119,26 119,26 119,26 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-08 1 1 119,05 119,05 119,05 119,05 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-12 1 1 119,21 119,21 119,21 119,21 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-13 1 1 119,25 119,25 119,25 119,25 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-14 1 1 119,19 119,19 119,19 119,19 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-15 1 1 119,22 119,22 119,22 119,22 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-16 1 1 119,33 119,33 119,33 119,33 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-19 1 1 119,68 119,68 119,68 119,68 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-20 1 1 119,74 119,74 119,74 119,74 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-21 1 1 120,05 120,05 120,05 120,05 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-22 1 1 120,09 120,09 120,09 120,09 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-23 1 1 120,28 120,28 120,28 120,28 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-27 1 1 120,6 120,6 120,6 120,6 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-28 1 1 120,5 120,5 120,5 120,5 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-29 1 1 120,49 120,49 120,49 120,49 963462 Danske Capital Sverige AB Danske Fonder Försiktig SEK 2005-12-30 1 1 120,5 120,5 120,5 120,5 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-03 1 1 667,1693 660,5308 667,1693 660,5308 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-04 1 1 670,8375 664,1625 670,8375 664,1625 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-05 1 1 669,8928 663,2272 669,8928 663,2272 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-07 1 1 671,7119 665,0282 671,7119 665,0282 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-10 1 1 672,6666 665,9734 672,6666 665,9734 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-11 1 1 673,5611 666,859 673,5611 666,859 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-12 1 1 668,6165 661,9636 668,6165 661,9636 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-13 1 1 669,5109 662,8491 669,5109 662,8491 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-14 1 1 672,8978 666,2023 672,8978 666,2023 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-17 1 1 673,9832 667,2769 673,9832 667,2769 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-18 1 1 673,551 666,849 673,551 666,849 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-19 1 1 677,0183 670,2818 677,0183 670,2818 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-20 1 1 674,9781 668,2619 674,9781 668,2619 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-21 1 1 674,1038 667,3963 674,1038 667,3963 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-24 1 1 668,9783 662,3218 668,9783 662,3218 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-25 1 1 669,3803 662,7198 669,3803 662,7198 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-26 1 1 672,9078 666,2122 672,9078 666,2122 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-27 1 1 675,3902 668,6699 675,3902 668,6699 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-28 1 1 674,5862 667,8739 674,5862 667,8739 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-01-31 1 1 677,1489 670,4111 677,1489 670,4111 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-01 1 1 681,6212 674,8389 681,6212 674,8389 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-02 1 1 682,3749 675,5851 682,3749 675,5851 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-03 1 1 686,5859 679,7542 686,5859 679,7542 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-04 1 1 689,0381 682,182 689,0381 682,182 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-07 1 1 697,0982 690,1619 697,0982 690,1619 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-08 1 1 700,4046 693,4354 700,4046 693,4354 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-09 1 1 701,3996 694,4205 701,3996 694,4205 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-10 1 1 698,9273 691,9728 698,9273 691,9728 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-11 1 1 699,6308 692,6693 699,6308 692,6693 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-14 1 1 700,7765 693,8036 700,7765 693,8036 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-15 1 1 698,3142 691,3658 698,3142 691,3658 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-16 1 1 697,3896 690,4504 697,3896 690,4504 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-17 1 1 700,0328 693,0673 700,0328 693,0673 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-18 1 1 695,9223 688,9977 695,9223 688,9977 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-21 1 1 698,4348 691,4852 698,4348 691,4852 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-22 1 1 690,6762 683,8038 690,6762 683,8038 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-23 1 1 681,782 674,9981 681,782 674,9981 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-24 1 1 681,8624 675,0777 681,8624 675,0777 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-25 1 1 687,7517 680,9084 687,7517 680,9084 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-02-28 1 1 689,4702 682,6098 689,4702 682,6098 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-01 1 1 690,1034 683,2367 690,1034 683,2367 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-02 1 1 696,6258 689,6942 696,6258 689,6942 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-03 1 1 695,8821 688,9579 695,8821 688,9579 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-04 1 1 696,6459 689,7141 696,6459 689,7141 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-07 1 1 698,3243 691,3758 698,3243 691,3758 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-08 1 1 698,1233 691,1768 698,1233 691,1768 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-09 1 1 693,5103 686,6097 693,5103 686,6097 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-10 1 1 685,611 678,789 685,611 678,789 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-11 1 1 686,8572 680,0228 686,8572 680,0228 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-14 1 1 684,3648 677,5552 684,3648 677,5552 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-15 1 1 687,8321 680,988 687,8321 680,988 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-16 1 1 683,601 676,799 683,601 676,799 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-17 1 1 682,8272 676,0329 682,8272 676,0329 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-18 1 1 686,6964 679,8636 686,6964 679,8636 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-21 1 1 691,3998 684,5202 691,3998 684,5202 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-22 1 1 687,9627 681,1173 687,9627 681,1173 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-23 1 1 685,41 678,59 685,41 678,59 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-24 1 1 686,2442 679,4159 686,2442 679,4159 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-29 1 1 689,0783 682,2218 689,0783 682,2218 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-30 1 1 687,5004 680,6596 687,5004 680,6596 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-03-31 1 1 694,6661 687,754 694,6661 687,754 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-01 1 1 696,3143 689,3858 696,3143 689,3858 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-04 1 1 694,8168 687,9032 694,8168 687,9032 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-05 1 1 697,7916 690,8484 697,7916 690,8484 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-06 1 1 699,6107 692,6494 699,6107 692,6494 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-07 1 1 698,1333 691,1867 698,1333 691,1867 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-08 1 1 705,912 698,888 705,912 698,888 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-11 1 1 696,6761 689,744 696,6761 689,744 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-12 1 1 696,1434 689,2166 696,1434 689,2166 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-13 1 1 700,887 693,913 700,887 693,913 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-14 1 1 700,0428 693,0772 700,0428 693,0772 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-15 1 1 692,1435 685,2565 692,1435 685,2565 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-18 1 1 679,5609 672,7991 679,5609 672,7991 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-19 1 1 681,7016 674,9185 681,7016 674,9185 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-20 1 1 684,797 677,9831 684,797 677,9831 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-21 1 1 677,5107 670,7693 677,5107 670,7693 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-22 1 1 683,1588 676,3612 683,1588 676,3612 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-25 1 1 683,8121 677,008 683,8121 677,008 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-26 1 1 684,6161 677,804 684,6161 677,804 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-27 1 1 680,1036 673,3364 680,1036 673,3364 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-28 1 1 683,802 676,998 683,802 676,998 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-04-29 1 1 682,596 675,804 682,596 675,804 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-02 1 1 693,2993 686,4008 693,2993 686,4008 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-03 1 1 696,5856 689,6544 696,5856 689,6544 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-04 1 1 689,6712 682,8088 689,6712 682,8088 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-06 1 1 696,264 689,336 696,264 689,336 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-09 1 1 701,3393 694,3608 701,3393 694,3608 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-10 1 1 702,0528 695,0672 702,0528 695,0672 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-11 1 1 700,4549 693,4852 700,4549 693,4852 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-12 1 1 706,505 699,4751 706,505 699,4751 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-13 1 1 704,3744 697,3657 704,3744 697,3657 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-16 1 1 702,3845 695,3956 702,3845 695,3956 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-17 1 1 705,5603 698,5398 705,5603 698,5398 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-18 1 1 708,3843 701,3357 708,3843 701,3357 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-19 1 1 714,3741 707,2659 714,3741 707,2659 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-20 1 1 717,6102 710,4698 717,6102 710,4698 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-23 1 1 719,2886 712,1315 719,2886 712,1315 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-24 1 1 718,7559 711,6041 718,7559 711,6041 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-25 1 1 719,4494 712,2907 719,4494 712,2907 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-26 1 1 722,8262 715,6339 722,8262 715,6339 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-27 1 1 725,7306 718,5094 725,7306 718,5094 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-30 1 1 728,4039 721,1561 728,4039 721,1561 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-05-31 1 1 732,9666 725,6734 732,9666 725,6734 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-01 1 1 733,3988 726,1013 733,3988 726,1013 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-02 1 1 738,3534 731,0066 738,3534 731,0066 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-03 1 1 737,1776 729,8425 737,1776 729,8425 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-07 1 1 736,3937 729,0664 736,3937 729,0664 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-08 1 1 740,484 733,116 740,484 733,116 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-09 1 1 742,8056 735,4145 742,8056 735,4145 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-10 1 1 750,0516 742,5884 750,0516 742,5884 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-13 1 1 757,3077 749,7723 757,3077 749,7723 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-14 1 1 756,4133 748,8868 756,4133 748,8868 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-15 1 1 760,3227 752,7573 760,3227 752,7573 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-16 1 1 758,4936 750,9464 758,4936 750,9464 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-17 1 1 757,6695 750,1305 757,6695 750,1305 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-20 1 1 757,5489 750,0111 757,5489 750,0111 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-21 1 1 763,1367 755,5433 763,1367 755,5433 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-22 1 1 765,8402 758,2199 765,8402 758,2199 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-23 1 1 777,468 769,732 777,468 769,732 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-27 1 1 760,0916 752,5285 760,0916 752,5285 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-28 1 1 765,4784 757,8617 765,4784 757,8617 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-29 1 1 776,5535 768,8266 776,5535 768,8266 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-06-30 1 1 773,5083 765,8117 773,5083 765,8117 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-01 1 1 770,0493 768,5107 770,0493 768,5107 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-04 1 1 778,9982 777,4418 778,9982 777,4418 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-05 1 1 774,3436 772,7964 774,3436 772,7964 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-06 1 1 774,814 773,266 774,814 773,266 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-07 1 1 768,6579 767,1221 768,6579 767,1221 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-08 1 1 773,1123 771,5677 773,1123 771,5677 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-11 1 1 781,741 780,179 781,741 780,179 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-12 1 1 776,9262 775,3739 776,9262 775,3739 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-13 1 1 773,1724 771,6276 773,1724 771,6276 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-14 1 1 778,9882 777,4318 778,9882 777,4318 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-15 1 1 783,5928 782,0272 783,5928 782,0272 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-18 1 1 781,6909 780,1291 781,6909 780,1291 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-19 1 1 786,9562 785,3838 786,9562 785,3838 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-20 1 1 785,0543 783,4857 785,0543 783,4857 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-21 1 1 786,1253 784,5547 786,1253 784,5547 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-22 1 1 783,3726 781,8074 783,3726 781,8074 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-25 1 1 787,747 786,173 787,747 786,173 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-26 1 1 792,1013 790,5187 792,1013 790,5187 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-27 1 1 791,1704 789,5896 791,1704 789,5896 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-28 1 1 788,1474 786,5726 788,1474 786,5726 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-07-29 1 1 791,5408 789,9593 791,5408 789,9593 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-01 1 1 781,6809 780,1191 781,6809 780,1191 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-02 1 1 782,4317 780,8684 782,4317 780,8684 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-03 1 1 781,6609 780,0991 781,6609 780,0991 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-04 1 1 777,1564 775,6036 777,1564 775,6036 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-05 1 1 771,5608 770,0192 771,5608 770,0192 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-08 1 1 768,6779 767,1421 768,6779 767,1421 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-09 1 1 772,0112 770,4688 772,0112 770,4688 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-10 1 1 777,2565 775,7035 777,2565 775,7035 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-11 1 1 773,4927 771,9473 773,4927 771,9473 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-12 1 1 775,4146 773,8654 775,4146 773,8654 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-15 1 1 775,5648 774,0152 775,5648 774,0152 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-16 1 1 781,3906 779,8294 781,3906 779,8294 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-17 1 1 775,4146 773,8651 775,4146 773,8651 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-18 1 1 779,8791 778,3207 779,8791 778,3207 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-19 1 1 781,9111 780,3489 781,9111 780,3489 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-22 1 1 784,3736 782,8064 784,3736 782,8064 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-23 1 1 785,0943 783,5257 785,0943 783,5257 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-24 1 1 778,8781 777,3219 778,8781 777,3219 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-25 1 1 772,1113 770,5687 772,1113 770,5687 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-26 1 1 772,7019 771,1581 772,7019 771,1581 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-29 1 1 766,4056 764,8744 766,4056 764,8744 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-30 1 1 776,7059 775,1539 776,7059 775,1539 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-08-31 1 1 775,0843 773,5357 775,0843 773,5357 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-01 1 1 773,813 772,267 773,813 772,267 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-02 1 1 766,6259 765,0941 766,6259 765,0941 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-05 1 1 768,5978 767,0622 768,5978 767,0622 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-06 1 1 771,5007 769,9593 771,5007 769,9593 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-07 1 1 781,6909 780,1291 781,6909 780,1291 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-08 1 1 782,9922 781,4278 782,9922 781,4278 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-09 1 1 784,9542 783,3858 784,9542 783,3858 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-12 1 1 791,6008 790,0192 791,6008 790,0192 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-13 1 1 792,6919 791,1081 792,6919 791,1081 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-14 1 1 791,0403 789,4598 791,0403 789,4598 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-15 1 1 794,7339 793,1461 794,7339 793,1461 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-16 1 1 796,3859 794,7944 796,3859 794,7944 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-19 1 1 805,7349 804,1251 805,7349 804,1251 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-20 1 1 792,4517 790,8683 792,4517 790,8683 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-21 1 1 784,0633 782,4967 784,0633 782,4967 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-22 1 1 781,2805 779,7195 781,2805 779,7195 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-23 1 1 789,5688 787,9912 789,5688 787,9912 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-26 1 1 795,8951 794,3049 795,8951 794,3049 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-27 1 1 797,817 796,223 797,817 796,223 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-28 1 1 798,2374 796,6426 798,2374 796,6426 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-29 1 1 799,1083 797,5117 799,1083 797,5117 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-09-30 1 1 797,0963 795,5037 797,0963 795,5037 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-03 1 1 803,0122 801,4078 803,0122 801,4078 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-04 1 1 803,7229 802,1171 803,7229 802,1171 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-05 1 1 796,0563 794,4747 796,0563 794,4747 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-06 1 1 777,8771 776,3229 777,8771 776,3229 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-07 1 1 776,5258 774,9743 776,5258 774,9743 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-10 1 1 781,791 780,229 781,791 780,229 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-11 1 1 784,0232 782,4568 784,0232 782,4568 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-12 1 1 782,6619 781,0981 782,6619 781,0981 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-13 1 1 780,6198 779,0602 780,6198 779,0602 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-14 1 1 782,752 781,188 782,752 781,188 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-17 1 1 787,777 786,203 787,777 786,203 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-18 1 1 791,6909 790,1091 791,6909 790,1091 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-19 1 1 781,5207 779,9593 781,5207 779,9593 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-20 1 1 789,7189 788,1411 789,7189 788,1411 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-21 1 1 779,3185 777,7615 779,3185 777,7615 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-24 1 1 787,1063 785,5337 787,1063 785,5337 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-25 1 1 789,829 788,251 789,829 788,251 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-26 1 1 788,5778 787,0022 788,5778 787,0022 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-27 1 1 783,3726 781,8074 783,3726 781,8074 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-28 1 1 782,2014 780,6386 782,2014 780,6386 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-10-31 1 1 799,7289 798,1311 799,7289 798,1311 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-01 1 1 809,5688 807,9512 809,5688 807,9512 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-02 1 1 807,2464 805,6336 807,2464 805,6336 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-03 1 1 817,3766 815,7434 817,3766 815,7434 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-04 1 1 822,9822 821,3378 822,9822 821,3378 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-07 1 1 831,9912 830,3288 831,9912 830,3288 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-08 1 1 831,4006 829,7394 831,4006 829,7394 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-09 1 1 829,3786 827,7215 829,3786 827,7215 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-10 1 1 835,1543 833,4857 835,1543 833,4857 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-11 1 1 840,5097 838,8303 840,5097 838,8303 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-14 1 1 839,5387 837,8613 839,5387 837,8613 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-15 1 1 844,9241 843,2359 844,9241 843,2359 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-16 1 1 840,1493 838,4707 840,1493 838,4707 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-17 1 1 846,806 845,114 846,806 845,114 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-18 1 1 848,838 847,142 848,838 847,142 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-21 1 1 843,6128 841,9272 843,6128 841,9272 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-22 1 1 850,1793 848,4807 850,1793 848,4807 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-23 1 1 847,7569 846,0631 847,7569 846,0631 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-24 1 1 848,0172 846,3228 848,0172 846,3228 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-25 1 1 846,5157 844,8243 846,5157 844,8243 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-28 1 1 850,89 849,19 850,89 849,19 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-29 1 1 847,797 846,1031 847,797 846,1031 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-11-30 1 1 847,6568 845,9632 847,6568 845,9632 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-01 1 1 848,3675 846,6725 848,3675 846,6725 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-02 1 1 849,4186 847,7214 849,4186 847,7214 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-05 1 1 850,2694 848,5706 850,2694 848,5706 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-06 1 1 843,9731 842,2869 843,9731 842,2869 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-07 1 1 848,4476 846,7524 848,4476 846,7524 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-08 1 1 842,7819 841,0981 842,7819 841,0981 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-12 1 1 839,2985 837,6215 839,2985 837,6215 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-13 1 1 843,0923 841,4078 843,0923 841,4078 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-14 1 1 840,3095 838,6305 840,3095 838,6305 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-15 1 1 841,4006 839,7194 841,4006 839,7194 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-16 1 1 847,4566 845,7634 847,4566 845,7634 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-19 1 1 842,4016 840,7184 842,4016 840,7184 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-20 1 1 840,6198 838,9402 840,6198 838,9402 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-21 1 1 849,5087 847,8113 849,5087 847,8113 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-22 1 1 852,9321 851,2279 852,9321 851,2279 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-23 1 1 859,4386 857,7214 859,4386 857,7214 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-27 1 1 859,899 858,181 859,899 858,181 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-28 1 1 850,1793 848,4807 850,1793 848,4807 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-29 1 1 853,7229 852,0171 853,7229 852,0171 252411 Danske Capital Sverige AB Danske Fonder Global Index SEK 2005-12-30 1 1 850,3996 848,7005 850,3996 848,7005 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-03 1 1 254,11 254,11 254,11 254,11 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-04 1 1 254,85 254,85 254,85 254,85 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-05 1 1 252,09 252,09 252,09 252,09 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-07 1 1 249,63 249,63 249,63 249,63 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-10 1 1 251,11 251,11 251,11 251,11 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-11 1 1 250,87 250,87 250,87 250,87 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-12 1 1 248,29 248,29 248,29 248,29 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-13 1 1 249,01 249,01 249,01 249,01 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-14 1 1 249,99 249,99 249,99 249,99 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-17 1 1 251,35 251,35 251,35 251,35 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-18 1 1 251,07 251,07 251,07 251,07 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-19 1 1 251,42 251,42 251,42 251,42 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-20 1 1 248,54 248,54 248,54 248,54 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-21 1 1 247,7 247,7 247,7 247,7 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-24 1 1 244,66 244,66 244,66 244,66 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-25 1 1 243,43 243,43 243,43 243,43 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-26 1 1 244,77 244,77 244,77 244,77 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-27 1 1 247,66 247,66 247,66 247,66 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-28 1 1 247,51 247,51 247,51 247,51 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-01-31 1 1 248,1 248,1 248,1 248,1 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-01 1 1 250,28 250,28 250,28 250,28 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-02 1 1 250 250 250 250 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-03 1 1 251,29 251,29 251,29 251,29 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-04 1 1 249,73 249,73 249,73 249,73 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-07 1 1 255,56 255,56 255,56 255,56 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-08 1 1 256,99 256,99 256,99 256,99 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-09 1 1 257,11 257,11 257,11 257,11 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-10 1 1 253,53 253,53 253,53 253,53 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-11 1 1 252,39 252,39 252,39 252,39 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-14 1 1 253,43 253,43 253,43 253,43 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-15 1 1 252,29 252,29 252,29 252,29 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-16 1 1 252,84 252,84 252,84 252,84 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-17 1 1 252,77 252,77 252,77 252,77 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-18 1 1 249,41 249,41 249,41 249,41 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-21 1 1 249,7 249,7 249,7 249,7 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-22 1 1 246,83 246,83 246,83 246,83 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-23 1 1 244,48 244,48 244,48 244,48 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-24 1 1 243,35 243,35 243,35 243,35 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-25 1 1 246,56 246,56 246,56 246,56 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-02-28 1 1 246,17 246,17 246,17 246,17 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-01 1 1 246,62 246,62 246,62 246,62 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-02 1 1 250,53 250,53 250,53 250,53 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-03 1 1 249,96 249,96 249,96 249,96 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-04 1 1 248,79 248,79 248,79 248,79 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-07 1 1 248,2 248,2 248,2 248,2 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-08 1 1 249,63 249,63 249,63 249,63 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-09 1 1 246,6 246,6 246,6 246,6 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-10 1 1 245,54 245,54 245,54 245,54 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-11 1 1 246,93 246,93 246,93 246,93 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-14 1 1 244,32 244,32 244,32 244,32 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-15 1 1 245,03 245,03 245,03 245,03 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-16 1 1 242,29 242,29 242,29 242,29 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-17 1 1 241,26 241,26 241,26 241,26 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-18 1 1 242,39 242,39 242,39 242,39 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-21 1 1 243,51 243,51 243,51 243,51 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-22 1 1 243,56 243,56 243,56 243,56 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-23 1 1 243,08 243,08 243,08 243,08 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-24 1 1 244,62 244,62 244,62 244,62 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-29 1 1 245,93 245,93 245,93 245,93 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-30 1 1 245,03 245,03 245,03 245,03 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-03-31 1 1 248,6 248,6 248,6 248,6 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-01 1 1 248,37 248,37 248,37 248,37 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-04 1 1 247,87 247,87 247,87 247,87 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-05 1 1 248,5 248,5 248,5 248,5 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-06 1 1 248,41 248,41 248,41 248,41 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-07 1 1 246,57 246,57 246,57 246,57 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-08 1 1 251,59 251,59 251,59 251,59 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-11 1 1 247,31 247,31 247,31 247,31 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-12 1 1 246,36 246,36 246,36 246,36 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-13 1 1 248,15 248,15 248,15 248,15 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-14 1 1 246,53 246,53 246,53 246,53 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-15 1 1 241,87 241,87 241,87 241,87 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-18 1 1 233,62 233,62 233,62 233,62 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-19 1 1 234,43 234,43 234,43 234,43 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-20 1 1 236,79 236,79 236,79 236,79 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-21 1 1 235,19 235,19 235,19 235,19 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-22 1 1 239,75 239,75 239,75 239,75 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-25 1 1 238,93 238,93 238,93 238,93 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-26 1 1 239,09 239,09 239,09 239,09 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-27 1 1 236,76 236,76 236,76 236,76 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-28 1 1 237,79 237,79 237,79 237,79 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-04-29 1 1 236,8 236,8 236,8 236,8 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-02 1 1 240,63 240,63 240,63 240,63 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-03 1 1 241,32 241,32 241,32 241,32 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-04 1 1 240,02 240,02 240,02 240,02 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-06 1 1 242,96 242,96 242,96 242,96 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-09 1 1 246,71 246,71 246,71 246,71 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-10 1 1 246,71 246,71 246,71 246,71 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-11 1 1 245,97 245,97 245,97 245,97 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-12 1 1 249,07 249,07 249,07 249,07 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-13 1 1 250,44 250,44 250,44 250,44 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-16 1 1 255,25 255,25 255,25 255,25 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-17 1 1 256,37 256,37 256,37 256,37 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-18 1 1 256,9 256,9 256,9 256,9 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-19 1 1 259,49 259,49 259,49 259,49 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-20 1 1 261,28 261,28 261,28 261,28 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-23 1 1 262,76 262,76 262,76 262,76 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-24 1 1 261,47 261,47 261,47 261,47 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-25 1 1 262,96 262,96 262,96 262,96 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-26 1 1 263,51 263,51 263,51 263,51 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-27 1 1 266,48 266,48 266,48 266,48 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-30 1 1 266,74 266,74 266,74 266,74 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-05-31 1 1 268,75 268,75 268,75 268,75 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-01 1 1 267,84 267,84 267,84 267,84 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-02 1 1 270,03 270,03 270,03 270,03 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-03 1 1 270,81 270,81 270,81 270,81 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-07 1 1 267,79 267,79 267,79 267,79 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-08 1 1 268,75 268,75 268,75 268,75 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-09 1 1 270,13 270,13 270,13 270,13 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-10 1 1 273,64 273,64 273,64 273,64 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-13 1 1 275,3 275,3 275,3 275,3 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-14 1 1 275,2 275,2 275,2 275,2 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-15 1 1 275,61 275,61 275,61 275,61 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-16 1 1 274,68 274,68 274,68 274,68 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-17 1 1 274,39 274,39 274,39 274,39 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-20 1 1 273,88 273,88 273,88 273,88 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-21 1 1 276,33 276,33 276,33 276,33 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-22 1 1 279,07 279,07 279,07 279,07 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-23 1 1 284,19 284,19 284,19 284,19 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-27 1 1 275,15 275,15 275,15 275,15 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-28 1 1 275,57 275,57 275,57 275,57 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-29 1 1 280,33 280,33 280,33 280,33 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-06-30 1 1 279,92 279,92 279,92 279,92 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-01 1 1 279,2 279,2 279,2 279,2 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-04 1 1 282,67 282,67 282,67 282,67 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-05 1 1 281,11 281,11 281,11 281,11 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-06 1 1 281,8 281,8 281,8 281,8 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-07 1 1 281,25 281,25 281,25 281,25 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-08 1 1 282,62 282,62 282,62 282,62 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-11 1 1 287,7 287,7 287,7 287,7 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-12 1 1 286,54 286,54 286,54 286,54 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-13 1 1 285,87 285,87 285,87 285,87 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-14 1 1 289 289 289 289 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-15 1 1 292,07 292,07 292,07 292,07 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-18 1 1 290,84 290,84 290,84 290,84 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-19 1 1 293,07 293,07 293,07 293,07 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-20 1 1 294,37 294,37 294,37 294,37 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-21 1 1 292,31 292,31 292,31 292,31 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-22 1 1 290,4 290,4 290,4 290,4 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-25 1 1 289,39 289,39 289,39 289,39 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-26 1 1 290,65 290,65 290,65 290,65 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-27 1 1 290,39 290,39 290,39 290,39 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-28 1 1 288,13 288,13 288,13 288,13 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-07-29 1 1 288,16 288,16 288,16 288,16 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-01 1 1 283,78 283,78 283,78 283,78 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-02 1 1 284,27 284,27 284,27 284,27 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-03 1 1 285,45 285,45 285,45 285,45 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-04 1 1 284,27 284,27 284,27 284,27 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-05 1 1 281,68 281,68 281,68 281,68 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-08 1 1 280,13 280,13 280,13 280,13 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-09 1 1 280,94 280,94 280,94 280,94 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-10 1 1 282,73 282,73 282,73 282,73 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-11 1 1 278,18 278,18 278,18 278,18 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-12 1 1 279,01 279,01 279,01 279,01 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-15 1 1 276,63 276,63 276,63 276,63 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-16 1 1 278,87 278,87 278,87 278,87 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-17 1 1 276,1 276,1 276,1 276,1 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-18 1 1 280,01 280,01 280,01 280,01 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-19 1 1 280,11 280,11 280,11 280,11 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-22 1 1 279,62 279,62 279,62 279,62 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-23 1 1 280,93 280,93 280,93 280,93 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-24 1 1 278,72 278,72 278,72 278,72 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-25 1 1 276,1 276,1 276,1 276,1 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-26 1 1 275,87 275,87 275,87 275,87 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-29 1 1 274,45 274,45 274,45 274,45 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-30 1 1 278,33 278,33 278,33 278,33 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-08-31 1 1 276,89 276,89 276,89 276,89 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-01 1 1 275,28 275,28 275,28 275,28 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-02 1 1 270,7 270,7 270,7 270,7 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-05 1 1 270,53 270,53 270,53 270,53 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-06 1 1 271,76 271,76 271,76 271,76 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-07 1 1 275,87 275,87 275,87 275,87 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-08 1 1 276,38 276,38 276,38 276,38 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-09 1 1 277,92 277,92 277,92 277,92 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-12 1 1 280,07 280,07 280,07 280,07 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-13 1 1 280,98 280,98 280,98 280,98 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-14 1 1 281,54 281,54 281,54 281,54 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-15 1 1 281 281 281 281 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-16 1 1 280,02 280,02 280,02 280,02 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-19 1 1 283,29 283,29 283,29 283,29 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-20 1 1 281,21 281,21 281,21 281,21 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-21 1 1 277,69 277,69 277,69 277,69 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-22 1 1 275,58 275,58 275,58 275,58 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-23 1 1 278,75 278,75 278,75 278,75 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-26 1 1 280,86 280,86 280,86 280,86 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-27 1 1 281,12 281,12 281,12 281,12 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-28 1 1 280,11 280,11 280,11 280,11 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-29 1 1 281,53 281,53 281,53 281,53 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-09-30 1 1 282,33 282,33 282,33 282,33 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-03 1 1 285,53 285,53 285,53 285,53 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-04 1 1 286,86 286,86 286,86 286,86 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-05 1 1 284,2 284,2 284,2 284,2 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-06 1 1 276,62 276,62 276,62 276,62 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-07 1 1 274,59 274,59 274,59 274,59 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-10 1 1 276,5 276,5 276,5 276,5 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-11 1 1 276,57 276,57 276,57 276,57 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-12 1 1 275,47 275,47 275,47 275,47 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-13 1 1 276,28 276,28 276,28 276,28 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-14 1 1 278,21 278,21 278,21 278,21 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-17 1 1 279,31 279,31 279,31 279,31 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-18 1 1 280,77 280,77 280,77 280,77 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-19 1 1 278,92 278,92 278,92 278,92 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-20 1 1 281,26 281,26 281,26 281,26 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-21 1 1 278,91 278,91 278,91 278,91 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-24 1 1 281,84 281,84 281,84 281,84 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-25 1 1 281,89 281,89 281,89 281,89 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-26 1 1 280,1 280,1 280,1 280,1 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-27 1 1 277,23 277,23 277,23 277,23 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-28 1 1 275,96 275,96 275,96 275,96 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-10-31 1 1 280,43 280,43 280,43 280,43 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-01 1 1 284,79 284,79 284,79 284,79 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-02 1 1 282,8 282,8 282,8 282,8 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-03 1 1 286,66 286,66 286,66 286,66 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-04 1 1 290,73 290,73 290,73 290,73 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-07 1 1 295,59 295,59 295,59 295,59 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-08 1 1 296,27 296,27 296,27 296,27 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-09 1 1 296,02 296,02 296,02 296,02 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-10 1 1 298,33 298,33 298,33 298,33 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-11 1 1 299,81 299,81 299,81 299,81 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-14 1 1 299,37 299,37 299,37 299,37 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-15 1 1 302,44 302,44 302,44 302,44 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-16 1 1 301,17 301,17 301,17 301,17 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-17 1 1 303,63 303,63 303,63 303,63 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-18 1 1 305,61 305,61 305,61 305,61 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-21 1 1 303,68 303,68 303,68 303,68 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-22 1 1 305,83 305,83 305,83 305,83 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-23 1 1 304,91 304,91 304,91 304,91 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-24 1 1 306,26 306,26 306,26 306,26 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-25 1 1 305,43 305,43 305,43 305,43 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-28 1 1 308,37 308,37 308,37 308,37 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-29 1 1 306,95 306,95 306,95 306,95 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-11-30 1 1 306,2 306,2 306,2 306,2 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-01 1 1 307,43 307,43 307,43 307,43 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-02 1 1 309,7 309,7 309,7 309,7 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-05 1 1 309,39 309,39 309,39 309,39 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-06 1 1 304,9 304,9 304,9 304,9 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-07 1 1 307,22 307,22 307,22 307,22 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-08 1 1 305,67 305,67 305,67 305,67 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-12 1 1 302,95 302,95 302,95 302,95 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-13 1 1 304,58 304,58 304,58 304,58 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-14 1 1 302,17 302,17 302,17 302,17 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-15 1 1 301,91 301,91 301,91 301,91 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-16 1 1 303,8 303,8 303,8 303,8 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-19 1 1 302,07 302,07 302,07 302,07 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-20 1 1 299,36 299,36 299,36 299,36 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-21 1 1 302,54 302,54 302,54 302,54 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-22 1 1 303,57 303,57 303,57 303,57 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-23 1 1 306,59 306,59 306,59 306,59 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-27 1 1 306,31 306,31 306,31 306,31 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-28 1 1 299,25 299,25 299,25 299,25 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-29 1 1 302,65 302,65 302,65 302,65 109090 Danske Capital Sverige AB Danske Fonder Global Teknologi SEK 2005-12-30 1 1 300,41 300,41 300,41 300,41 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-06-17 1 1 108,35 108,35 108,35 108,35 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-06-20 1 1 107,84 107,84 107,84 107,84 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-06-21 1 1 108,58 108,58 108,58 108,58 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-06-22 1 1 108,82 108,82 108,82 108,82 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-06-23 1 1 108,96 108,96 108,96 108,96 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-06-27 1 1 109,35 109,35 109,35 109,35 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-06-28 1 1 109,2 109,2 109,2 109,2 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-06-29 1 1 110,44 110,44 110,44 110,44 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-06-30 1 1 110,83 110,83 110,83 110,83 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-01 1 1 110,87 110,87 110,87 110,87 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-04 1 1 112,02 112,02 112,02 112,02 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-05 1 1 112,13 112,13 112,13 112,13 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-06 1 1 111,85 111,85 111,85 111,85 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-07 1 1 111,14 111,14 111,14 111,14 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-08 1 1 111,23 111,23 111,23 111,23 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-11 1 1 112,6 112,6 112,6 112,6 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-12 1 1 112,44 112,44 112,44 112,44 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-13 1 1 112,38 112,38 112,38 112,38 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-14 1 1 112,5 112,5 112,5 112,5 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-15 1 1 112,64 112,64 112,64 112,64 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-18 1 1 112,6 112,6 112,6 112,6 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-19 1 1 112,72 112,72 112,72 112,72 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-20 1 1 112,64 112,64 112,64 112,64 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-21 1 1 113,47 113,47 113,47 113,47 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-22 1 1 113,02 113,02 113,02 113,02 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-25 1 1 113,24 113,24 113,24 113,24 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-26 1 1 113,17 113,17 113,17 113,17 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-27 1 1 114,12 114,12 114,12 114,12 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-28 1 1 114,59 114,59 114,59 114,59 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-07-29 1 1 114,76 114,76 114,76 114,76 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-01 1 1 116,25 116,25 116,25 116,25 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-02 1 1 114,96 114,96 114,96 114,96 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-03 1 1 115,56 115,56 115,56 115,56 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-04 1 1 115,03 115,03 115,03 115,03 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-05 1 1 114,26 114,26 114,26 114,26 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-08 1 1 114,15 114,15 114,15 114,15 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-09 1 1 114,55 114,55 114,55 114,55 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-10 1 1 115,33 115,33 115,33 115,33 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-11 1 1 115,23 115,23 115,23 115,23 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-12 1 1 114,55 114,55 114,55 114,55 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-15 1 1 114,53 114,53 114,53 114,53 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-16 1 1 114,41 114,41 114,41 114,41 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-17 1 1 114,53 114,53 114,53 114,53 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-18 1 1 114,4 114,4 114,4 114,4 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-19 1 1 114,62 114,62 114,62 114,62 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-22 1 1 114,95 114,95 114,95 114,95 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-23 1 1 114,94 114,94 114,94 114,94 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-24 1 1 114,15 114,15 114,15 114,15 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-25 1 1 113,02 113,02 113,02 113,02 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-26 1 1 113,03 113,03 113,03 113,03 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-29 1 1 112,41 112,41 112,41 112,41 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-30 1 1 113,36 113,36 113,36 113,36 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-08-31 1 1 114,12 114,12 114,12 114,12 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-01 1 1 114,78 114,78 114,78 114,78 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-02 1 1 115,03 115,03 115,03 115,03 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-05 1 1 115,37 115,37 115,37 115,37 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-06 1 1 115,79 115,79 115,79 115,79 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-07 1 1 116,42 116,42 116,42 116,42 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-08 1 1 116,53 116,53 116,53 116,53 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-09 1 1 116,92 116,92 116,92 116,92 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-12 1 1 117,77 117,77 117,77 117,77 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-13 1 1 118,02 118,02 118,02 118,02 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-14 1 1 118,17 118,17 118,17 118,17 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-15 1 1 118,34 118,34 118,34 118,34 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-16 1 1 118,88 118,88 118,88 118,88 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-19 1 1 119,78 119,78 119,78 119,78 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-20 1 1 119,63 119,63 119,63 119,63 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-21 1 1 119,43 119,43 119,43 119,43 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-22 1 1 119,12 119,12 119,12 119,12 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-23 1 1 119,67 119,67 119,67 119,67 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-26 1 1 120,48 120,48 120,48 120,48 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-27 1 1 121,41 121,41 121,41 121,41 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-28 1 1 122,07 122,07 122,07 122,07 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-29 1 1 122,38 122,38 122,38 122,38 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-09-30 1 1 122,56 122,56 122,56 122,56 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-03 1 1 122,64 122,64 122,64 122,64 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-04 1 1 123,14 123,14 123,14 123,14 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-05 1 1 123,01 123,01 123,01 123,01 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-06 1 1 121,33 121,33 121,33 121,33 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-07 1 1 119,95 119,95 119,95 119,95 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-10 1 1 120,72 120,72 120,72 120,72 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-11 1 1 121,35 121,35 121,35 121,35 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-12 1 1 121,11 121,11 121,11 121,11 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-13 1 1 120,42 120,42 120,42 120,42 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-14 1 1 119,31 119,31 119,31 119,31 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-17 1 1 119,43 119,43 119,43 119,43 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-18 1 1 119,89 119,89 119,89 119,89 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-19 1 1 118,37 118,37 118,37 118,37 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-20 1 1 118,51 118,51 118,51 118,51 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-21 1 1 117,38 117,38 117,38 117,38 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-24 1 1 118,16 118,16 118,16 118,16 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-25 1 1 119,66 119,66 119,66 119,66 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-26 1 1 119,39 119,39 119,39 119,39 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-27 1 1 119,09 119,09 119,09 119,09 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-28 1 1 117,95 117,95 117,95 117,95 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-10-31 1 1 119,83 119,83 119,83 119,83 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-01 1 1 120,12 120,12 120,12 120,12 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-02 1 1 120,2 120,2 120,2 120,2 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-03 1 1 123,03 123,03 123,03 123,03 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-04 1 1 124,2 124,2 124,2 124,2 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-07 1 1 124,78 124,78 124,78 124,78 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-08 1 1 125,13 125,13 125,13 125,13 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-09 1 1 124,52 124,52 124,52 124,52 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-10 1 1 125,19 125,19 125,19 125,19 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-11 1 1 126,13 126,13 126,13 126,13 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-14 1 1 125,49 125,49 125,49 125,49 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-15 1 1 125,27 125,27 125,27 125,27 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-16 1 1 125,4 125,4 125,4 125,4 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-17 1 1 126,32 126,32 126,32 126,32 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-18 1 1 126,88 126,88 126,88 126,88 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-21 1 1 126,32 126,32 126,32 126,32 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-22 1 1 126,26 126,26 126,26 126,26 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-23 1 1 125,82 125,82 125,82 125,82 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-24 1 1 125,98 125,98 125,98 125,98 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-25 1 1 126,42 126,42 126,42 126,42 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-28 1 1 126,96 126,96 126,96 126,96 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-29 1 1 126,29 126,29 126,29 126,29 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-11-30 1 1 126,31 126,31 126,31 126,31 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-01 1 1 126,94 126,94 126,94 126,94 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-02 1 1 127,24 127,24 127,24 127,24 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-05 1 1 128,28 128,28 128,28 128,28 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-06 1 1 128,53 128,53 128,53 128,53 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-07 1 1 128,22 128,22 128,22 128,22 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-08 1 1 127,31 127,31 127,31 127,31 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-12 1 1 127,95 127,95 127,95 127,95 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-13 1 1 128,21 128,21 128,21 128,21 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-14 1 1 127,8 127,8 127,8 127,8 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-15 1 1 127,94 127,94 127,94 127,94 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-16 1 1 128,09 128,09 128,09 128,09 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-19 1 1 129,01 129,01 129,01 129,01 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-20 1 1 129,15 129,15 129,15 129,15 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-21 1 1 130,3 130,3 130,3 130,3 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-22 1 1 130,69 130,69 130,69 130,69 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-23 1 1 131,19 131,19 131,19 131,19 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-27 1 1 131,98 131,98 131,98 131,98 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-28 1 1 131,63 131,63 131,63 131,63 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-29 1 1 131,53 131,53 131,53 131,53 891804 Danske Capital Sverige AB Danske Fonder Offensiv SEK 2005-12-30 1 1 131,51 131,51 131,51 131,51 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-03 1 1 65,2346 64,5855 65,2346 64,5855 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-04 1 1 65,4657 64,8143 65,4657 64,8143 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-05 1 1 65,3652 64,7148 65,3652 64,7148 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-07 1 1 65,4356 64,7845 65,4356 64,7845 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-10 1 1 65,7974 65,1427 65,7974 65,1427 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-11 1 1 65,7773 65,1228 65,7773 65,1228 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-12 1 1 65,3753 64,7248 65,3753 64,7248 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-13 1 1 65,3652 64,7148 65,3652 64,7148 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-14 1 1 65,6064 64,9536 65,6064 64,9536 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-17 1 1 65,928 65,272 65,928 65,272 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-18 1 1 65,8275 65,1725 65,8275 65,1725 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-19 1 1 66,1793 65,5208 66,1793 65,5208 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-20 1 1 65,9391 65,282 65,9391 65,282 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-21 1 1 65,8376 65,1825 65,8376 65,1825 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-24 1 1 65,3049 64,6551 65,3049 64,6551 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-25 1 1 65,4456 64,7944 65,4456 64,7944 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-26 1 1 65,8175 65,1626 65,8175 65,1626 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-27 1 1 66,0185 65,3616 66,0185 65,3616 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-28 1 1 65,928 65,272 65,928 65,272 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-01-31 1 1 66,1793 65,5208 66,1793 65,5208 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-01 1 1 66,5813 65,9188 66,5813 65,9188 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-02 1 1 66,6918 66,0282 66,6918 66,0282 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-03 1 1 67,0838 66,4163 67,0838 66,4163 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-04 1 1 67,2245 66,5556 67,2245 66,5556 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-07 1 1 68,0285 67,3516 68,0285 67,3516 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-08 1 1 68,3501 67,67 68,3501 67,67 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-09 1 1 68,5008 67,8192 68,5008 67,8192 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-10 1 1 68,1692 67,4909 68,1692 67,4909 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-11 1 1 68,2295 67,5506 68,2295 67,5506 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-14 1 1 68,4003 67,7197 68,4003 67,7197 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-15 1 1 68,1491 67,471 68,1491 67,471 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-16 1 1 67,9883 67,3118 67,9883 67,3118 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-17 1 1 68,3199 67,6401 68,3199 67,6401 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-18 1 1 67,8777 67,2023 67,8777 67,2023 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-21 1 1 68,1591 67,4809 68,1591 67,4809 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-22 1 1 67,4154 66,7446 67,4154 66,7446 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-23 1 1 66,6516 65,9884 66,6516 65,9884 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-24 1 1 66,5813 65,9188 66,5813 65,9188 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-25 1 1 67,2345 66,5655 67,2345 66,5655 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-02-28 1 1 67,5762 66,9038 67,5762 66,9038 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-01 1 1 67,335 66,665 67,335 66,665 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-02 1 1 67,928 67,2521 67,928 67,2521 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-03 1 1 67,8174 67,1426 67,8174 67,1426 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-04 1 1 67,8878 67,2123 67,8878 67,2123 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-07 1 1 68,0285 67,3516 68,0285 67,3516 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-08 1 1 68,0385 67,3615 68,0385 67,3615 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-09 1 1 67,6265 66,9536 67,6265 66,9536 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-10 1 1 67,0335 66,3665 67,0335 66,3665 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-11 1 1 67,1441 66,476 67,1441 66,476 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-14 1 1 66,9029 66,2372 66,9029 66,2372 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-15 1 1 67,2848 66,6153 67,2848 66,6153 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-16 1 1 66,8727 66,2073 66,8727 66,2073 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-17 1 1 66,7521 66,0879 66,7521 66,0879 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-18 1 1 67,2144 66,5456 67,2144 66,5456 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-21 1 1 67,6767 67,0033 67,6767 67,0033 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-22 1 1 67,4858 66,8143 67,4858 66,8143 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-23 1 1 67,134 66,466 67,134 66,466 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-24 1 1 67,3149 66,6451 67,3149 66,6451 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-29 1 1 67,526 66,8541 67,526 66,8541 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-30 1 1 67,335 66,665 67,335 66,665 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-03-31 1 1 68,0184 67,3416 68,0184 67,3416 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-01 1 1 68,1089 67,4312 68,1089 67,4312 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-04 1 1 67,9983 67,3217 67,9983 67,3217 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-05 1 1 68,4003 67,7197 68,4003 67,7197 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-06 1 1 68,5611 67,8789 68,5611 67,8789 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-07 1 1 68,4908 67,8093 68,4908 67,8093 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-08 1 1 69,2847 68,5953 69,2847 68,5953 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-11 1 1 68,3702 67,6899 68,3702 67,6899 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-12 1 1 68,3199 67,6401 68,3199 67,6401 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-13 1 1 68,7822 68,0978 68,7822 68,0978 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-14 1 1 68,531 67,8491 68,531 67,8491 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-15 1 1 67,6365 66,9635 67,6365 66,9635 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-18 1 1 66,129 65,471 66,129 65,471 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-19 1 1 66,4908 65,8292 66,4908 65,8292 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-20 1 1 66,7823 66,1178 66,7823 66,1178 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-21 1 1 66,0084 65,3516 66,0084 65,3516 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-22 1 1 66,7521 66,0879 66,7521 66,0879 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-25 1 1 66,8627 66,1974 66,8627 66,1974 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-26 1 1 66,933 66,267 66,933 66,267 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-27 1 1 66,4908 65,8292 66,4908 65,8292 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-28 1 1 66,8024 66,1377 66,8024 66,1377 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-04-29 1 1 66,6818 66,0183 66,6818 66,0183 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-02 1 1 67,6365 66,9635 67,6365 66,9635 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-03 1 1 67,9581 67,2819 67,9581 67,2819 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-04 1 1 67,3049 66,6352 67,3049 66,6352 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-06 1 1 67,9581 67,2819 67,9581 67,2819 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-09 1 1 68,5008 67,8192 68,5008 67,8192 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-10 1 1 68,6315 67,9486 68,6315 67,9486 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-11 1 1 68,4707 67,7894 68,4707 67,7894 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-12 1 1 69,0737 68,3864 69,0737 68,3864 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-13 1 1 68,8526 68,1675 68,8526 68,1675 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-16 1 1 68,6516 67,9685 68,6516 67,9685 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-17 1 1 68,9531 68,267 68,9531 68,267 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-18 1 1 69,2345 68,5456 69,2345 68,5456 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-19 1 1 69,7269 69,0331 69,7269 69,0331 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-20 1 1 70,0385 69,3416 70,0385 69,3416 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-23 1 1 70,2395 69,5406 70,2395 69,5406 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-24 1 1 70,149 69,451 70,149 69,451 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-25 1 1 70,2596 69,5605 70,2596 69,5605 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-26 1 1 70,5108 69,8092 70,5108 69,8092 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-27 1 1 70,8224 70,1177 70,8224 70,1177 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-30 1 1 71,1339 70,4261 71,1339 70,4261 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-05-31 1 1 71,5862 70,8739 71,5862 70,8739 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-01 1 1 71,6766 70,9634 71,6766 70,9634 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-02 1 1 72,2093 71,4908 72,2093 71,4908 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-03 1 1 72,159 71,441 72,159 71,441 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-07 1 1 72,0686 71,3515 72,0686 71,3515 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-08 1 1 72,5007 71,7793 72,5007 71,7793 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-09 1 1 72,7319 72,0082 72,7319 72,0082 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-10 1 1 73,4856 72,7544 73,4856 72,7544 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-13 1 1 74,1992 73,4609 74,1992 73,4609 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-14 1 1 74,1087 73,3713 74,1087 73,3713 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-15 1 1 74,5308 73,7892 74,5308 73,7892 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-16 1 1 74,3399 73,6002 74,3399 73,6002 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-17 1 1 74,3499 73,6101 74,3499 73,6101 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-20 1 1 74,4404 73,6997 74,4404 73,6997 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-21 1 1 75,0333 74,2867 75,0333 74,2867 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-22 1 1 75,3449 74,5952 75,3449 74,5952 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-23 1 1 76,4906 75,7295 76,4906 75,7295 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-27 1 1 74,9027 74,1574 74,9027 74,1574 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-28 1 1 75,4052 74,6549 75,4052 74,6549 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-29 1 1 76,38 75,62 76,38 75,62 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-06-30 1 1 76,2293 75,4708 76,2293 75,4708 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-01 1 1 75,8658 75,7142 75,8658 75,7142 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-04 1 1 76,7567 76,6033 76,7567 76,6033 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-05 1 1 76,5265 76,3736 76,5265 76,3736 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-06 1 1 76,5965 76,4435 76,5965 76,4435 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-07 1 1 76,036 75,884 76,036 75,884 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-08 1 1 76,5064 76,3536 76,5064 76,3536 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-11 1 1 77,3473 77,1927 77,3473 77,1927 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-12 1 1 76,8268 76,6733 76,8268 76,6733 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-13 1 1 76,5164 76,3636 76,5164 76,3636 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-14 1 1 77,067 76,913 77,067 76,913 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-15 1 1 77,5174 77,3626 77,5174 77,3626 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-18 1 1 77,2272 77,0729 77,2272 77,0729 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-19 1 1 77,7277 77,5724 77,7277 77,5724 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-20 1 1 77,6676 77,5124 77,6676 77,5124 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-21 1 1 77,7977 77,6423 77,7977 77,6423 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-22 1 1 77,5174 77,3626 77,5174 77,3626 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-25 1 1 77,9379 77,7821 77,9379 77,7821 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-26 1 1 78,3983 78,2417 78,3983 78,2417 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-27 1 1 78,3883 78,2317 78,3883 78,2317 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-28 1 1 78,1281 77,972 78,1281 77,972 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-07-29 1 1 78,4484 78,2916 78,4484 78,2916 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-01 1 1 77,4974 77,3426 77,4974 77,3426 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-02 1 1 77,6075 77,4525 77,6075 77,4525 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-03 1 1 77,6576 77,5024 77,6576 77,5024 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-04 1 1 77,1471 76,9929 77,1471 76,9929 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-05 1 1 76,5365 76,3835 76,5365 76,3835 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-08 1 1 76,1661 76,0139 76,1661 76,0139 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-09 1 1 76,5064 76,3536 76,5064 76,3536 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-10 1 1 76,9969 76,8431 76,9969 76,8431 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-11 1 1 76,6466 76,4934 76,6466 76,4934 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-12 1 1 76,7967 76,6433 76,7967 76,6433 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-15 1 1 76,8568 76,7032 76,8568 76,7032 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-16 1 1 77,3573 77,2027 77,3573 77,2027 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-17 1 1 76,7567 76,6033 76,7567 76,6033 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-18 1 1 77,087 76,933 77,087 76,933 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-19 1 1 77,2972 77,1428 77,2972 77,1428 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-22 1 1 77,5975 77,4425 77,5975 77,4425 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-23 1 1 77,6175 77,4625 77,6175 77,4625 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-24 1 1 77,0169 76,8631 77,0169 76,8631 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-25 1 1 76,4764 76,3236 76,4764 76,3236 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-26 1 1 76,4864 76,3336 76,4864 76,3336 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-29 1 1 75,9359 75,7841 75,9359 75,7841 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-30 1 1 76,9168 76,7632 76,9168 76,7632 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-08-31 1 1 76,8167 76,6633 76,8167 76,6633 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-01 1 1 76,7467 76,5933 76,7467 76,5933 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-02 1 1 76,106 75,954 76,106 75,954 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-05 1 1 76,1561 76,0039 76,1561 76,0039 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-06 1 1 76,4564 76,3036 76,4564 76,3036 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-07 1 1 77,5475 77,3925 77,5475 77,3925 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-08 1 1 77,6476 77,4924 77,6476 77,4924 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-09 1 1 77,8878 77,7322 77,8878 77,7322 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-12 1 1 78,5785 78,4215 78,5785 78,4215 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-13 1 1 78,6486 78,4914 78,6486 78,4914 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-14 1 1 78,5084 78,3516 78,5084 78,3516 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-15 1 1 78,8588 78,7012 78,8588 78,7012 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-16 1 1 78,9389 78,7811 78,9389 78,7811 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-19 1 1 79,8097 79,6503 79,8097 79,6503 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-20 1 1 79,7897 79,6303 79,7897 79,6303 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-21 1 1 78,7086 78,5514 78,7086 78,5514 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-22 1 1 78,5485 78,3915 78,5485 78,3915 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-23 1 1 79,3893 79,2307 79,3893 79,2307 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-26 1 1 79,9899 79,8301 79,9899 79,8301 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-27 1 1 80,1801 80,0199 80,1801 80,0199 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-28 1 1 80,2001 80,0399 80,2001 80,0399 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-29 1 1 80,3803 80,2197 80,3803 80,2197 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-09-30 1 1 80,1801 80,0199 80,1801 80,0199 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-03 1 1 80,6806 80,5194 80,6806 80,5194 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-04 1 1 80,7607 80,5993 80,7607 80,5993 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-05 1 1 80,0099 79,8501 80,0099 79,8501 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-06 1 1 78,0079 77,8521 78,0079 77,8521 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-07 1 1 77,7577 77,6023 77,7577 77,6023 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-10 1 1 78,3283 78,1718 78,3283 78,1718 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-11 1 1 78,3883 78,2317 78,3883 78,2317 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-12 1 1 78,2582 78,1018 78,2582 78,1018 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-13 1 1 78,038 77,882 78,038 77,882 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-14 1 1 78,2081 78,0519 78,2081 78,0519 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-17 1 1 78,7787 78,6213 78,7787 78,6213 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-18 1 1 79,2392 79,0808 79,2392 79,0808 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-19 1 1 78,2282 78,0719 78,2282 78,0719 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-20 1 1 79,089 78,931 79,089 78,931 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-21 1 1 78,068 77,912 78,068 77,912 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-24 1 1 78,9589 78,8011 78,9589 78,8011 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-25 1 1 79,1891 79,0309 79,1891 79,0309 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-26 1 1 79,1391 78,9809 79,1391 78,9809 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-27 1 1 78,5685 78,4115 78,5685 78,4115 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-28 1 1 78,3683 78,2117 78,3683 78,2117 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-10-31 1 1 80,03 79,8701 80,03 79,8701 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-01 1 1 81,081 80,919 81,081 80,919 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-02 1 1 80,9309 80,7692 80,9309 80,7692 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-03 1 1 81,9619 81,7981 81,9619 81,7981 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-04 1 1 82,6726 82,5074 82,6726 82,5074 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-07 1 1 83,4334 83,2667 83,4334 83,2667 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-08 1 1 83,4534 83,2866 83,4534 83,2866 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-09 1 1 83,2031 83,0369 83,2031 83,0369 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-10 1 1 83,8438 83,6762 83,8438 83,6762 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-11 1 1 84,3242 84,1558 84,3242 84,1558 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-14 1 1 84,2842 84,1158 84,2842 84,1158 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-15 1 1 84,8348 84,6653 84,8348 84,6653 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-16 1 1 84,3743 84,2057 84,3743 84,2057 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-17 1 1 84,9749 84,8051 84,9749 84,8051 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-18 1 1 85,2151 85,0449 85,2151 85,0449 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-21 1 1 84,6546 84,4854 84,6546 84,4854 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-22 1 1 85,4253 85,2547 85,4253 85,2547 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-23 1 1 85,1551 84,9849 85,1551 84,9849 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-24 1 1 85,1451 84,9749 85,1451 84,9749 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-25 1 1 85,0049 84,8351 85,0049 84,8351 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-28 1 1 85,5054 85,3346 85,5054 85,3346 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-29 1 1 85,105 84,935 85,105 84,935 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-11-30 1 1 85,095 84,925 85,095 84,925 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-01 1 1 85,1551 84,9849 85,1551 84,9849 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-02 1 1 85,3553 85,1847 85,3553 85,1847 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-05 1 1 85,5254 85,3546 85,5254 85,3546 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-06 1 1 84,9649 84,7951 84,9649 84,7951 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-07 1 1 85,5655 85,3945 85,5655 85,3945 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-08 1 1 85,0149 84,8451 85,0149 84,8451 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-12 1 1 84,8147 84,6453 84,8147 84,6453 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-13 1 1 85,1451 84,9749 85,1451 84,9749 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-14 1 1 84,8948 84,7252 84,8948 84,7252 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-15 1 1 84,9949 84,8251 84,9949 84,8251 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-16 1 1 85,6155 85,4445 85,6155 85,4445 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-19 1 1 85,065 84,895 85,065 84,895 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-20 1 1 84,8748 84,7052 84,8748 84,7052 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-21 1 1 85,7457 85,5743 85,7457 85,5743 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-22 1 1 86,056 85,884 86,056 85,884 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-23 1 1 86,6466 86,4734 86,6466 86,4734 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-27 1 1 86,7367 86,5634 86,7367 86,5634 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-28 1 1 85,6656 85,4944 85,6656 85,4944 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-29 1 1 86,036 85,8641 86,036 85,8641 613729 Danske Capital Sverige AB Danske Fonder SRI Global SEK 2005-12-30 1 1 85,6756 85,5044 85,6756 85,5044 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-03 1 1 98,4297 97,4503 98,4297 97,4503 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-04 1 1 98,6408 97,6593 98,6408 97,6593 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-05 1 1 97,9473 96,9727 97,9473 96,9727 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-07 1 1 98,2689 97,2911 98,2689 97,2911 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-10 1 1 99,1935 98,2065 99,1935 98,2065 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-11 1 1 98,8518 97,8682 98,8518 97,8682 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-12 1 1 97,7765 96,8036 97,7765 96,8036 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-13 1 1 97,2338 96,2663 97,2338 96,2663 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-14 1 1 97,5554 96,5847 97,5554 96,5847 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-17 1 1 98,289 97,311 98,289 97,311 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-18 1 1 97,7564 96,7837 97,7564 96,7837 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-19 1 1 98,681 97,6991 98,681 97,6991 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-20 1 1 97,6056 96,6344 97,6056 96,6344 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-21 1 1 97,5755 96,6046 97,5755 96,6046 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-24 1 1 96,5604 95,5996 96,5604 95,5996 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-25 1 1 97,0931 96,127 97,0931 96,127 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-26 1 1 97,5554 96,5847 97,5554 96,5847 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-27 1 1 98,279 97,3011 98,279 97,3011 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-28 1 1 97,7262 96,7538 97,7262 96,7538 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-01-31 1 1 98,3694 97,3906 98,3694 97,3906 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-01 1 1 98,6408 97,6593 98,6408 97,6593 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-02 1 1 99,4247 98,4354 99,4247 98,4354 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-03 1 1 99,3845 98,3956 99,3845 98,3956 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-04 1 1 99,9875 98,9926 99,9875 98,9926 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-07 1 1 100,9121 99,908 100,9121 99,908 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-08 1 1 101,1633 100,1567 101,1633 100,1567 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-09 1 1 101,7864 100,7736 101,7864 100,7736 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-10 1 1 100,892 99,8881 100,892 99,8881 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-11 1 1 101,4648 100,4552 101,4648 100,4552 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-14 1 1 101,8166 100,8035 101,8166 100,8035 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-15 1 1 102,108 101,092 102,108 101,092 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-16 1 1 101,3744 100,3657 101,3744 100,3657 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-17 1 1 102,0477 101,0323 102,0477 101,0323 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-18 1 1 101,3241 100,3159 101,3241 100,3159 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-21 1 1 101,6256 100,6144 101,6256 100,6144 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-22 1 1 100,8819 99,8781 100,8819 99,8781 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-23 1 1 101,4447 100,4353 101,4447 100,4353 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-24 1 1 101,7563 100,7438 101,7563 100,7438 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-25 1 1 102,2688 101,2512 102,2688 101,2512 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-02-28 1 1 102,8718 101,8482 102,8718 101,8482 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-01 1 1 102,8618 101,8383 102,8618 101,8383 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-02 1 1 103,0728 102,0472 103,0728 102,0472 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-03 1 1 103,9874 102,9527 103,9874 102,9527 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-04 1 1 104,309 103,2711 104,309 103,2711 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-07 1 1 104,1381 103,1019 104,1381 103,1019 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-08 1 1 103,9773 102,9427 103,9773 102,9427 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-09 1 1 103,5452 102,5149 103,5452 102,5149 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-10 1 1 102,8216 101,7985 102,8216 101,7985 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-11 1 1 102,9824 101,9577 102,9824 101,9577 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-14 1 1 103,1934 102,1666 103,1934 102,1666 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-15 1 1 103,8366 102,8034 103,8366 102,8034 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-16 1 1 102,912 101,888 102,912 101,888 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-17 1 1 102,8115 101,7885 102,8115 101,7885 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-18 1 1 102,8417 101,8184 102,8417 101,8184 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-21 1 1 102,51 101,49 102,51 101,49 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-22 1 1 102,701 101,6791 102,701 101,6791 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-23 1 1 102,2085 101,1915 102,2085 101,1915 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-24 1 1 103,2437 102,2164 103,2437 102,2164 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-29 1 1 102,912 101,888 102,912 101,888 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-30 1 1 102,0879 101,0721 102,0879 101,0721 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-03-31 1 1 103,0527 102,0273 103,0527 102,0273 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-01 1 1 103,2537 102,2263 103,2537 102,2263 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-04 1 1 103,113 102,087 103,113 102,087 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-05 1 1 103,9572 102,9228 103,9572 102,9228 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-06 1 1 104,912 103,8681 104,912 103,8681 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-07 1 1 104,9723 103,9278 104,9723 103,9278 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-08 1 1 105,6959 104,6442 105,6959 104,6442 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-11 1 1 105,6356 104,5845 105,6356 104,5845 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-12 1 1 105,5652 104,5148 105,5652 104,5148 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-13 1 1 106,721 105,6591 106,721 105,6591 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-14 1 1 107,1129 106,0471 107,1129 106,0471 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-15 1 1 105,6959 104,6442 105,6959 104,6442 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-18 1 1 103,9472 102,9129 103,9472 102,9129 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-19 1 1 104,6607 103,6193 104,6607 103,6193 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-20 1 1 105,4145 104,3656 105,4145 104,3656 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-21 1 1 104,8818 103,8382 104,8818 103,8382 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-22 1 1 106,0476 104,9924 106,0476 104,9924 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-25 1 1 105,716 104,6641 105,716 104,6641 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-26 1 1 105,4145 104,3656 105,4145 104,3656 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-27 1 1 103,505 102,4751 103,505 102,4751 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-28 1 1 102,2286 101,2114 102,2286 101,2114 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-04-29 1 1 102,8417 101,8184 102,8417 101,8184 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-02 1 1 103,4246 102,3955 103,4246 102,3955 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-03 1 1 103,3643 102,3358 103,3643 102,3358 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-04 1 1 103,1532 102,1268 103,1532 102,1268 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-06 1 1 104,3291 103,291 104,3291 103,291 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-09 1 1 104,52 103,48 104,52 103,48 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-10 1 1 104,0376 103,0024 104,0376 103,0024 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-11 1 1 104,4095 103,3706 104,4095 103,3706 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-12 1 1 104,9421 103,8979 104,9421 103,8979 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-13 1 1 105,0929 104,0472 105,0929 104,0472 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-16 1 1 105,1532 104,1069 105,1532 104,1069 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-17 1 1 105,6356 104,5845 105,6356 104,5845 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-18 1 1 106,721 105,6591 106,721 105,6591 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-19 1 1 107,0627 105,9974 107,0627 105,9974 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-20 1 1 106,9622 105,8979 106,9622 105,8979 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-23 1 1 107,2536 106,1864 107,2536 106,1864 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-24 1 1 107,2637 106,1964 107,2637 106,1964 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-25 1 1 107,7561 106,6839 107,7561 106,6839 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-26 1 1 108,128 107,0521 108,128 107,0521 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-27 1 1 108,3491 107,271 108,3491 107,271 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-30 1 1 108,5702 107,4899 108,5702 107,4899 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-05-31 1 1 109,0425 107,9575 109,0425 107,9575 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-01 1 1 108,8817 107,7983 108,8817 107,7983 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-02 1 1 108,6807 107,5993 108,6807 107,5993 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-03 1 1 108,7008 107,6192 108,7008 107,6192 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-07 1 1 108,4496 107,3705 108,4496 107,3705 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-08 1 1 109,4646 108,3754 109,4646 108,3754 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-09 1 1 109,4445 108,3555 109,4445 108,3555 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-10 1 1 110,0274 108,9326 110,0274 108,9326 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-13 1 1 110,1179 109,0222 110,1179 109,0222 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-14 1 1 110,4294 109,3306 110,4294 109,3306 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-15 1 1 110,8917 109,7883 110,8917 109,7883 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-16 1 1 110,741 109,6391 110,741 109,6391 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-17 1 1 111,4445 110,3356 111,4445 110,3356 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-20 1 1 111,2133 110,1067 111,2133 110,1067 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-21 1 1 111,8967 110,7833 111,8967 110,7833 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-22 1 1 112,4595 111,3405 112,4595 111,3405 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-23 1 1 112,9721 111,848 112,9721 111,848 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-27 1 1 111,3239 110,2162 111,3239 110,2162 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-28 1 1 111,7359 110,6241 111,7359 110,6241 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-29 1 1 112,6907 111,5694 112,6907 111,5694 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-06-30 1 1 113,0424 111,9176 113,0424 111,9176 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-01 1 1 112,6525 112,4275 112,6525 112,4275 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-04 1 1 113,4033 113,1767 113,4033 113,1767 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-05 1 1 113,4533 113,2267 113,4533 113,2267 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-06 1 1 113,8437 113,6163 113,8437 113,6163 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-07 1 1 111,6716 111,4484 111,6716 111,4484 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-08 1 1 113,2131 112,9869 113,2131 112,9869 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-11 1 1 114,8948 114,6652 114,8948 114,6652 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-12 1 1 115,3252 115,0948 115,3252 115,0948 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-13 1 1 116,156 115,924 116,156 115,924 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-14 1 1 116,4664 116,2337 116,4664 116,2337 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-15 1 1 116,4864 116,2536 116,4864 116,2536 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-18 1 1 116,4864 116,2536 116,4864 116,2536 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-19 1 1 116,3562 116,1238 116,3562 116,1238 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-20 1 1 115,8958 115,6642 115,8958 115,6642 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-21 1 1 116,8267 116,5933 116,8267 116,5933 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-22 1 1 117,1871 116,9529 117,1871 116,9529 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-25 1 1 116,6165 116,3835 116,6165 116,3835 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-26 1 1 116,9368 116,7032 116,9368 116,7032 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-27 1 1 117,3673 117,1328 117,3673 117,1328 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-28 1 1 118,0479 117,8121 118,0479 117,8121 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-07-29 1 1 118,118 117,882 118,118 117,882 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-01 1 1 118,098 117,862 118,098 117,862 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-02 1 1 118,5584 118,3216 118,5584 118,3216 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-03 1 1 118,7887 118,5513 118,7887 118,5513 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-04 1 1 118,4984 118,2616 118,4984 118,2616 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-05 1 1 118,158 117,922 118,158 117,922 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-08 1 1 118,138 117,902 118,138 117,902 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-09 1 1 118,3482 118,1118 118,3482 118,1118 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-10 1 1 119,3693 119,1308 119,3693 119,1308 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-11 1 1 118,7787 118,5413 118,7787 118,5413 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-12 1 1 118,7787 118,5413 118,7787 118,5413 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-15 1 1 118,5084 118,2716 118,5084 118,2716 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-16 1 1 118,9288 118,6912 118,9288 118,6912 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-17 1 1 117,9578 117,7222 117,9578 117,7222 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-18 1 1 118,3482 118,1118 118,3482 118,1118 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-19 1 1 118,9689 118,7312 118,9689 118,7312 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-22 1 1 119,0089 118,7711 119,0089 118,7711 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-23 1 1 118,5384 118,3016 118,5384 118,3016 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-24 1 1 116,3462 116,1138 116,3462 116,1138 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-25 1 1 115,6455 115,4145 115,6455 115,4145 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-26 1 1 114,6646 114,4355 114,6646 114,4355 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-29 1 1 114,3943 114,1657 114,3943 114,1657 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-30 1 1 115,4854 115,2546 115,4854 115,2546 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-08-31 1 1 116,066 115,8341 116,066 115,8341 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-01 1 1 116,7366 116,5034 116,7366 116,5034 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-02 1 1 116,5264 116,2936 116,5264 116,2936 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-05 1 1 117,3272 117,0928 117,3272 117,0928 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-06 1 1 118,078 117,842 118,078 117,842 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-07 1 1 118,4784 118,2416 118,4784 118,2416 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-08 1 1 118,108 117,872 118,108 117,872 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-09 1 1 118,6886 118,4514 118,6886 118,4514 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-12 1 1 119,2391 119,0009 119,2391 119,0009 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-13 1 1 119,1791 118,9409 119,1791 118,9409 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-14 1 1 119,6796 119,4404 119,6796 119,4404 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-15 1 1 119,3592 119,1208 119,3592 119,1208 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-16 1 1 119,6295 119,3905 119,6295 119,3905 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-19 1 1 120,3102 120,0698 120,3102 120,0698 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-20 1 1 119,8798 119,6402 119,8798 119,6402 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-21 1 1 113,0329 112,8071 113,0329 112,8071 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-22 1 1 112,7627 112,5374 112,7627 112,5374 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-23 1 1 113,3532 113,1268 113,3532 113,1268 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-26 1 1 114,4744 114,2456 114,4744 114,2456 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-27 1 1 114,8748 114,6452 114,8748 114,6452 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-28 1 1 115,6656 115,4345 115,6656 115,4345 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-29 1 1 116,3262 116,0938 116,3262 116,0938 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-09-30 1 1 116,9068 116,6732 116,9068 116,6732 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-03 1 1 117,2972 117,0628 117,2972 117,0628 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-04 1 1 117,4874 117,2526 117,4874 117,2526 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-05 1 1 116,7466 116,5134 116,7466 116,5134 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-06 1 1 115,3853 115,1547 115,3853 115,1547 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-07 1 1 115,065 114,8351 115,065 114,8351 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-10 1 1 116,0059 115,7741 116,0059 115,7741 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-11 1 1 116,076 115,844 116,076 115,844 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-12 1 1 114,9548 114,7252 114,9548 114,7252 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-13 1 1 113,5935 113,3665 113,5935 113,3665 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-14 1 1 113,7737 113,5463 113,7737 113,5463 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-17 1 1 113,4133 113,1867 113,4133 113,1867 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-18 1 1 113,073 112,847 113,073 112,847 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-19 1 1 111,2111 110,9889 111,2111 110,9889 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-20 1 1 111,7316 111,5084 111,7316 111,5084 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-21 1 1 110,5404 110,3196 110,5404 110,3196 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-24 1 1 111,6115 111,3885 111,6115 111,3885 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-25 1 1 112,5424 112,3176 112,5424 112,3176 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-26 1 1 113,113 112,887 113,113 112,887 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-27 1 1 112,3422 112,1178 112,3422 112,1178 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-28 1 1 111,8517 111,6283 111,8517 111,6283 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-10-31 1 1 113,5134 113,2866 113,5134 113,2866 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-01 1 1 114,7747 114,5453 114,7747 114,5453 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-02 1 1 114,6846 114,4554 114,6846 114,4554 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-03 1 1 116,3062 116,0738 116,3062 116,0738 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-04 1 1 116,1861 115,9539 116,1861 115,9539 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-07 1 1 116,8768 116,6432 116,8768 116,6432 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-08 1 1 116,8067 116,5733 116,8067 116,5733 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-09 1 1 116,5965 116,3635 116,5965 116,3635 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-10 1 1 117,0369 116,8031 117,0369 116,8031 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-11 1 1 117,7677 117,5324 117,7677 117,5324 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-14 1 1 118,4383 118,2017 118,4383 118,2017 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-15 1 1 118,2481 118,0119 118,2481 118,0119 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-16 1 1 117,9378 117,7022 117,9378 117,7022 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-17 1 1 118,5284 118,2916 118,5284 118,2916 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-18 1 1 119,1791 118,9409 119,1791 118,9409 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-21 1 1 119,0589 118,8211 119,0589 118,8211 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-22 1 1 119,4093 119,1707 119,4093 119,1707 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-23 1 1 119,4093 119,1707 119,4093 119,1707 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-24 1 1 118,9789 118,7411 118,9789 118,7411 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-25 1 1 119,4293 119,1907 119,4293 119,1907 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-28 1 1 119,9999 119,7601 119,9999 119,7601 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-29 1 1 119,4694 119,2307 119,4694 119,2307 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-11-30 1 1 118,6285 118,3915 118,6285 118,3915 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-01 1 1 119,7296 119,4904 119,7296 119,4904 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-02 1 1 120,6405 120,3995 120,6405 120,3995 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-05 1 1 120,9308 120,6892 120,9308 120,6892 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-06 1 1 121,4513 121,2087 121,4513 121,2087 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-07 1 1 121,5114 121,2686 121,5114 121,2686 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-08 1 1 121,5915 121,3485 121,5915 121,3485 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-12 1 1 122,072 121,8281 122,072 121,8281 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-13 1 1 121,9418 121,6982 121,9418 121,6982 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-14 1 1 121,3112 121,0688 121,3112 121,0688 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-15 1 1 121,101 120,859 121,101 120,859 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-16 1 1 121,5414 121,2986 121,5414 121,2986 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-19 1 1 122,1721 121,928 122,1721 121,928 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-20 1 1 122,2121 121,9679 122,2121 121,9679 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-21 1 1 122,7526 122,5074 122,7526 122,5074 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-22 1 1 123,133 122,887 123,133 122,887 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-23 1 1 124,1841 123,9359 124,1841 123,9359 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-27 1 1 124,9849 124,7351 124,9849 124,7351 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-28 1 1 124,7646 124,5154 124,7646 124,5154 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-29 1 1 125,115 124,865 125,115 124,865 577890 Danske Capital Sverige AB Danske Fonder SRI Sverige SEK 2005-12-30 1 1 124,9849 124,7351 124,9849 124,7351 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-03 1 1 1475,01 1475,01 1475,01 1475,01 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-04 1 1 1479,21 1479,21 1479,21 1479,21 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-05 1 1 1468,77 1468,77 1468,77 1468,77 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-07 1 1 1470,83 1470,83 1470,83 1470,83 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-10 1 1 1483,78 1483,78 1483,78 1483,78 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-11 1 1 1476,08 1476,08 1476,08 1476,08 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-12 1 1 1460,73 1460,73 1460,73 1460,73 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-13 1 1 1449,6 1449,6 1449,6 1449,6 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-14 1 1 1453,01 1453,01 1453,01 1453,01 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-17 1 1 1461,77 1461,77 1461,77 1461,77 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-18 1 1 1454,59 1454,59 1454,59 1454,59 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-19 1 1 1469,49 1469,49 1469,49 1469,49 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-20 1 1 1453,59 1453,59 1453,59 1453,59 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-21 1 1 1451,12 1451,12 1451,12 1451,12 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-24 1 1 1432,42 1432,42 1432,42 1432,42 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-25 1 1 1439,92 1439,92 1439,92 1439,92 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-26 1 1 1447,42 1447,42 1447,42 1447,42 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-27 1 1 1455,42 1455,42 1455,42 1455,42 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-28 1 1 1444,93 1444,93 1444,93 1444,93 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-01-31 1 1 1455,11 1455,11 1455,11 1455,11 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-01 1 1 1457,72 1457,72 1457,72 1457,72 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-02 1 1 1475,78 1475,78 1475,78 1475,78 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-03 1 1 1471,72 1471,72 1471,72 1471,72 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-04 1 1 1483,13 1483,13 1483,13 1483,13 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-07 1 1 1497,99 1497,99 1497,99 1497,99 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-08 1 1 1501,11 1501,11 1501,11 1501,11 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-09 1 1 1504,77 1504,77 1504,77 1504,77 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-10 1 1 1489,29 1489,29 1489,29 1489,29 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-11 1 1 1498,78 1498,78 1498,78 1498,78 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-14 1 1 1504,93 1504,93 1504,93 1504,93 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-15 1 1 1508,74 1508,74 1508,74 1508,74 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-16 1 1 1467,61 1467,61 1467,61 1467,61 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-17 1 1 1476,21 1476,21 1476,21 1476,21 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-18 1 1 1463,6 1463,6 1463,6 1463,6 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-21 1 1 1467,22 1467,22 1467,22 1467,22 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-22 1 1 1456,95 1456,95 1456,95 1456,95 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-23 1 1 1466,4 1466,4 1466,4 1466,4 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-24 1 1 1473,31 1473,31 1473,31 1473,31 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-25 1 1 1483,39 1483,39 1483,39 1483,39 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-02-28 1 1 1489,9 1489,9 1489,9 1489,9 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-01 1 1 1489,31 1489,31 1489,31 1489,31 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-02 1 1 1492,03 1492,03 1492,03 1492,03 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-03 1 1 1503,05 1503,05 1503,05 1503,05 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-04 1 1 1510,39 1510,39 1510,39 1510,39 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-07 1 1 1507,77 1507,77 1507,77 1507,77 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-08 1 1 1506,15 1506,15 1506,15 1506,15 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-09 1 1 1496,41 1496,41 1496,41 1496,41 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-10 1 1 1485,09 1485,09 1485,09 1485,09 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-11 1 1 1489,89 1489,89 1489,89 1489,89 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-14 1 1 1490,46 1490,46 1490,46 1490,46 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-15 1 1 1500,19 1500,19 1500,19 1500,19 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-16 1 1 1489,52 1489,52 1489,52 1489,52 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-17 1 1 1491,12 1491,12 1491,12 1491,12 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-18 1 1 1489,97 1489,97 1489,97 1489,97 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-21 1 1 1480,62 1480,62 1480,62 1480,62 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-22 1 1 1479,17 1479,17 1479,17 1479,17 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-23 1 1 1471,97 1471,97 1471,97 1471,97 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-24 1 1 1491,65 1491,65 1491,65 1491,65 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-29 1 1 1498,86 1498,86 1498,86 1498,86 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-30 1 1 1489,23 1489,23 1489,23 1489,23 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-03-31 1 1 1498,44 1498,44 1498,44 1498,44 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-01 1 1 1500,82 1500,82 1500,82 1500,82 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-04 1 1 1500,77 1500,77 1500,77 1500,77 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-05 1 1 1516,67 1516,67 1516,67 1516,67 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-06 1 1 1532,72 1532,72 1532,72 1532,72 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-07 1 1 1531,49 1531,49 1531,49 1531,49 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-08 1 1 1539,81 1539,81 1539,81 1539,81 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-11 1 1 1537,96 1537,96 1537,96 1537,96 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-12 1 1 1535,72 1535,72 1535,72 1535,72 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-13 1 1 1545 1545 1545 1545 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-14 1 1 1551,76 1551,76 1551,76 1551,76 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-15 1 1 1531,8 1531,8 1531,8 1531,8 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-18 1 1 1500,96 1500,96 1500,96 1500,96 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-19 1 1 1511,52 1511,52 1511,52 1511,52 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-20 1 1 1520,54 1520,54 1520,54 1520,54 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-21 1 1 1509,25 1509,25 1509,25 1509,25 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-22 1 1 1528,09 1528,09 1528,09 1528,09 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-25 1 1 1519,66 1519,66 1519,66 1519,66 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-26 1 1 1510,41 1510,41 1510,41 1510,41 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-27 1 1 1481,64 1481,64 1481,64 1481,64 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-28 1 1 1459,52 1459,52 1459,52 1459,52 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-04-29 1 1 1470,42 1470,42 1470,42 1470,42 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-02 1 1 1480,7 1480,7 1480,7 1480,7 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-03 1 1 1486,49 1486,49 1486,49 1486,49 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-04 1 1 1490,87 1490,87 1490,87 1490,87 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-06 1 1 1507,09 1507,09 1507,09 1507,09 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-09 1 1 1506,5 1506,5 1506,5 1506,5 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-10 1 1 1499,71 1499,71 1499,71 1499,71 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-11 1 1 1501,43 1501,43 1501,43 1501,43 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-12 1 1 1506,63 1506,63 1506,63 1506,63 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-13 1 1 1522,03 1522,03 1522,03 1522,03 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-16 1 1 1520,32 1520,32 1520,32 1520,32 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-17 1 1 1524,75 1524,75 1524,75 1524,75 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-18 1 1 1534,44 1534,44 1534,44 1534,44 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-19 1 1 1536,71 1536,71 1536,71 1536,71 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-20 1 1 1535,99 1535,99 1535,99 1535,99 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-23 1 1 1539,61 1539,61 1539,61 1539,61 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-24 1 1 1543,05 1543,05 1543,05 1543,05 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-25 1 1 1547,58 1547,58 1547,58 1547,58 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-26 1 1 1552,11 1552,11 1552,11 1552,11 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-27 1 1 1553,04 1553,04 1553,04 1553,04 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-30 1 1 1554,91 1554,91 1554,91 1554,91 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-05-31 1 1 1561,83 1561,83 1561,83 1561,83 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-01 1 1 1557,36 1557,36 1557,36 1557,36 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-02 1 1 1554,81 1554,81 1554,81 1554,81 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-03 1 1 1556,64 1556,64 1556,64 1556,64 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-07 1 1 1554,47 1554,47 1554,47 1554,47 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-08 1 1 1567,93 1567,93 1567,93 1567,93 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-09 1 1 1567 1567 1567 1567 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-10 1 1 1576,77 1576,77 1576,77 1576,77 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-13 1 1 1576,58 1576,58 1576,58 1576,58 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-14 1 1 1582,82 1582,82 1582,82 1582,82 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-15 1 1 1590,52 1590,52 1590,52 1590,52 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-16 1 1 1581,7 1581,7 1581,7 1581,7 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-17 1 1 1595,6 1595,6 1595,6 1595,6 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-20 1 1 1591,31 1591,31 1591,31 1591,31 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-21 1 1 1593,96 1593,96 1593,96 1593,96 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-22 1 1 1606,13 1606,13 1606,13 1606,13 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-23 1 1 1617,29 1617,29 1617,29 1617,29 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-27 1 1 1592,52 1592,52 1592,52 1592,52 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-28 1 1 1599,13 1599,13 1599,13 1599,13 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-29 1 1 1614,38 1614,38 1614,38 1614,38 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-06-30 1 1 1627,86 1627,86 1627,86 1627,86 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-01 1 1 1632,48 1632,48 1632,48 1632,48 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-04 1 1 1643,37 1643,37 1643,37 1643,37 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-05 1 1 1643,84 1643,84 1643,84 1643,84 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-06 1 1 1645,63 1645,63 1645,63 1645,63 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-07 1 1 1614,41 1614,41 1614,41 1614,41 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-08 1 1 1641,36 1641,36 1641,36 1641,36 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-11 1 1 1664,73 1664,73 1664,73 1664,73 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-12 1 1 1669,92 1669,92 1669,92 1669,92 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-13 1 1 1675,97 1675,97 1675,97 1675,97 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-14 1 1 1680,91 1680,91 1680,91 1680,91 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-15 1 1 1676,53 1676,53 1676,53 1676,53 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-18 1 1 1673,48 1673,48 1673,48 1673,48 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-19 1 1 1671,16 1671,16 1671,16 1671,16 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-20 1 1 1669,16 1669,16 1669,16 1669,16 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-21 1 1 1684,05 1684,05 1684,05 1684,05 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-22 1 1 1694,49 1694,49 1694,49 1694,49 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-25 1 1 1691,15 1691,15 1691,15 1691,15 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-26 1 1 1696,04 1696,04 1696,04 1696,04 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-27 1 1 1702,85 1702,85 1702,85 1702,85 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-28 1 1 1715,32 1715,32 1715,32 1715,32 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-07-29 1 1 1719,56 1719,56 1719,56 1719,56 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-01 1 1 1719,28 1719,28 1719,28 1719,28 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-02 1 1 1727,85 1727,85 1727,85 1727,85 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-03 1 1 1731,57 1731,57 1731,57 1731,57 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-04 1 1 1721,86 1721,86 1721,86 1721,86 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-05 1 1 1715,69 1715,69 1715,69 1715,69 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-08 1 1 1716,55 1716,55 1716,55 1716,55 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-09 1 1 1715,66 1715,66 1715,66 1715,66 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-10 1 1 1733,82 1733,82 1733,82 1733,82 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-11 1 1 1723,48 1723,48 1723,48 1723,48 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-12 1 1 1718 1718 1718 1718 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-15 1 1 1716,25 1716,25 1716,25 1716,25 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-16 1 1 1721,94 1721,94 1721,94 1721,94 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-17 1 1 1707,42 1707,42 1707,42 1707,42 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-18 1 1 1713,17 1713,17 1713,17 1713,17 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-19 1 1 1718,05 1718,05 1718,05 1718,05 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-22 1 1 1716,62 1716,62 1716,62 1716,62 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-23 1 1 1712,23 1712,23 1712,23 1712,23 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-24 1 1 1682,99 1682,99 1682,99 1682,99 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-25 1 1 1670,48 1670,48 1670,48 1670,48 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-26 1 1 1657,74 1657,74 1657,74 1657,74 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-29 1 1 1654,87 1654,87 1654,87 1654,87 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-30 1 1 1668,92 1668,92 1668,92 1668,92 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-08-31 1 1 1678,1805 1678,1805 1678,1805 1678,1805 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-01 1 1 1690,19 1690,19 1690,19 1690,19 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-02 1 1 1684,11 1684,11 1684,11 1684,11 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-05 1 1 1694,43 1694,43 1694,43 1694,43 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-06 1 1 1704,86 1704,86 1704,86 1704,86 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-07 1 1 1710,09 1710,09 1710,09 1710,09 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-08 1 1 1705,6 1705,6 1705,6 1705,6 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-09 1 1 1714,11 1714,11 1714,11 1714,11 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-12 1 1 1718,71 1718,71 1718,71 1718,71 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-13 1 1 1715,08 1715,08 1715,08 1715,08 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-14 1 1 1722,94 1722,94 1722,94 1722,94 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-15 1 1 1718,48 1718,48 1718,48 1718,48 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-16 1 1 1723,67 1723,67 1723,67 1723,67 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-19 1 1 1729,21 1729,21 1729,21 1729,21 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-20 1 1 1723,23 1723,23 1723,23 1723,23 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-21 1 1 1718,28 1718,28 1718,28 1718,28 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-22 1 1 1712,67 1712,67 1712,67 1712,67 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-23 1 1 1717,66 1717,66 1717,66 1717,66 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-26 1 1 1737,6 1737,6 1737,6 1737,6 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-27 1 1 1749,78 1749,78 1749,78 1749,78 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-28 1 1 1759,31 1759,31 1759,31 1759,31 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-29 1 1 1770,16 1770,16 1770,16 1770,16 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-09-30 1 1 1776,41 1776,41 1776,41 1776,41 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-03 1 1 1776,3 1776,3 1776,3 1776,3 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-04 1 1 1775,05 1775,05 1775,05 1775,05 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-05 1 1 1767,5 1767,5 1767,5 1767,5 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-06 1 1 1749,13 1749,13 1749,13 1749,13 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-07 1 1 1749,38 1749,38 1749,38 1749,38 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-10 1 1 1766,71 1766,71 1766,71 1766,71 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-11 1 1 1770,09 1770,09 1770,09 1770,09 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-12 1 1 1754,09 1754,09 1754,09 1754,09 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-13 1 1 1736,04 1736,04 1736,04 1736,04 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-14 1 1 1733,54 1733,54 1733,54 1733,54 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-17 1 1 1732,17 1732,17 1732,17 1732,17 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-18 1 1 1725,17 1725,17 1725,17 1725,17 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-19 1 1 1694,57 1694,57 1694,57 1694,57 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-20 1 1 1701,19 1701,19 1701,19 1701,19 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-21 1 1 1682,04 1682,04 1682,04 1682,04 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-24 1 1 1698,86 1698,86 1698,86 1698,86 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-25 1 1 1717,7 1717,7 1717,7 1717,7 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-26 1 1 1728,56 1728,56 1728,56 1728,56 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-27 1 1 1714,42 1714,42 1714,42 1714,42 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-28 1 1 1709,73 1709,73 1709,73 1709,73 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-10-31 1 1 1737,64 1737,64 1737,64 1737,64 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-01 1 1 1751,06 1751,06 1751,06 1751,06 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-02 1 1 1753,55 1753,55 1753,55 1753,55 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-03 1 1 1784,02 1784,02 1784,02 1784,02 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-04 1 1 1782,4 1782,4 1782,4 1782,4 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-07 1 1 1790,02 1790,02 1790,02 1790,02 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-08 1 1 1790,99 1790,99 1790,99 1790,99 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-09 1 1 1792,76 1792,76 1792,76 1792,76 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-10 1 1 1797,74 1797,74 1797,74 1797,74 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-11 1 1 1811,28 1811,28 1811,28 1811,28 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-14 1 1 1819,57 1819,57 1819,57 1819,57 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-15 1 1 1818,91 1818,91 1818,91 1818,91 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-16 1 1 1814,67 1814,67 1814,67 1814,67 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-17 1 1 1827,48 1827,48 1827,48 1827,48 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-18 1 1 1837,43 1837,43 1837,43 1837,43 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-21 1 1 1839,11 1839,11 1839,11 1839,11 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-22 1 1 1839,84 1839,84 1839,84 1839,84 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-23 1 1 1838,13 1838,13 1838,13 1838,13 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-24 1 1 1836,39 1836,39 1836,39 1836,39 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-25 1 1 1844,83 1844,83 1844,83 1844,83 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-28 1 1 1853,08 1853,08 1853,08 1853,08 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-29 1 1 1848,06 1848,06 1848,06 1848,06 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-11-30 1 1 1836,11 1836,11 1836,11 1836,11 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-01 1 1 1854,25 1854,25 1854,25 1854,25 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-02 1 1 1866,78 1866,78 1866,78 1866,78 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-05 1 1 1872,66 1872,66 1872,66 1872,66 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-06 1 1 1882,04 1882,04 1882,04 1882,04 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-07 1 1 1884,37 1884,37 1884,37 1884,37 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-08 1 1 1884,43 1884,43 1884,43 1884,43 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-12 1 1 1886,6 1886,6 1886,6 1886,6 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-13 1 1 1886,32 1886,32 1886,32 1886,32 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-14 1 1 1884,15 1884,15 1884,15 1884,15 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-15 1 1 1881,34 1881,34 1881,34 1881,34 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-16 1 1 1887,81 1887,81 1887,81 1887,81 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-19 1 1 1900,68 1900,68 1900,68 1900,68 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-20 1 1 1899,88 1899,88 1899,88 1899,88 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-21 1 1 1908,75 1908,75 1908,75 1908,75 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-22 1 1 1915,63 1915,63 1915,63 1915,63 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-23 1 1 1930,73 1930,73 1930,73 1930,73 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-27 1 1 1945,4 1945,4 1945,4 1945,4 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-28 1 1 1941,27 1941,27 1941,27 1941,27 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-29 1 1 1946,76 1946,76 1946,76 1946,76 973263 Danske Capital Sverige AB Danske Fonder Sverige SEK 2005-12-30 1 1 1944,43 1944,43 1944,43 1944,43 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-11-17 1 1 107,78 107,78 107,78 107,78 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-11-18 1 1 108,22 108,22 108,22 108,22 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-11-21 1 1 108,09 108,09 108,09 108,09 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-11-22 1 1 108,25 108,25 108,25 108,25 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-11-23 1 1 108,33 108,33 108,33 108,33 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-11-24 1 1 108,29 108,29 108,29 108,29 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-11-25 1 1 108,94 108,94 108,94 108,94 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-11-28 1 1 109,36 109,36 109,36 109,36 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-11-29 1 1 109,25 109,25 109,25 109,25 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-11-30 1 1 108,51 108,51 108,51 108,51 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-01 1 1 109,54 109,54 109,54 109,54 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-02 1 1 110,21 110,21 110,21 110,21 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-05 1 1 110,36 110,36 110,36 110,36 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-06 1 1 110,97 110,97 110,97 110,97 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-07 1 1 111,02 111,02 111,02 111,02 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-08 1 1 111,02 111,02 111,02 111,02 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-12 1 1 111,36 111,36 111,36 111,36 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-13 1 1 111,71 111,71 111,71 111,71 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-14 1 1 111,79 111,79 111,79 111,79 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-15 1 1 111,59 111,59 111,59 111,59 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-16 1 1 111,95 111,95 111,95 111,95 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-19 1 1 112,84 112,84 112,84 112,84 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-20 1 1 112,88 112,88 112,88 112,88 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-21 1 1 113,54 113,54 113,54 113,54 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-22 1 1 113,95 113,95 113,95 113,95 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-23 1 1 114,97 114,97 114,97 114,97 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-27 1 1 115,73 115,73 115,73 115,73 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-28 1 1 115,24 115,24 115,24 115,24 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-29 1 1 115,44 115,44 115,44 115,44 832899 Danske Capital Sverige AB Danske Fonder Sverige Fokus SEK 2005-12-30 1 1 115,42 115,42 115,42 115,42 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-03 1 1 1111,24 1111,24 1111,24 1111,24 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-04 1 1 1111,39 1111,39 1111,39 1111,39 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-05 1 1 1111,17 1111,17 1111,17 1111,17 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-07 1 1 1111,48 1111,48 1111,48 1111,48 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-10 1 1 1111,73 1111,73 1111,73 1111,73 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-11 1 1 1111,74 1111,74 1111,74 1111,74 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-12 1 1 1112,04 1112,04 1112,04 1112,04 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-13 1 1 1112,21 1112,21 1112,21 1112,21 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-14 1 1 1112,35 1112,35 1112,35 1112,35 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-17 1 1 1112,6 1112,6 1112,6 1112,6 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-18 1 1 1112,63 1112,63 1112,63 1112,63 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-19 1 1 1112,88 1112,88 1112,88 1112,88 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-20 1 1 1112,7 1112,7 1112,7 1112,7 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-21 1 1 1113,04 1113,04 1113,04 1113,04 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-24 1 1 1113,63 1113,63 1113,63 1113,63 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-25 1 1 1113,71 1113,71 1113,71 1113,71 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-26 1 1 1113,62 1113,62 1113,62 1113,62 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-27 1 1 1113,52 1113,52 1113,52 1113,52 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-28 1 1 1113,85 1113,85 1113,85 1113,85 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-01-31 1 1 1114,06 1114,06 1114,06 1114,06 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-01 1 1 1114,08 1114,08 1114,08 1114,08 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-02 1 1 1114,22 1114,22 1114,22 1114,22 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-03 1 1 1114,04 1114,04 1114,04 1114,04 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-04 1 1 1114,31 1114,31 1114,31 1114,31 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-07 1 1 1114,44 1114,44 1114,44 1114,44 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-08 1 1 1114,4 1114,4 1114,4 1114,4 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-09 1 1 1114,57 1114,57 1114,57 1114,57 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-10 1 1 1114,78 1114,78 1114,78 1114,78 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-11 1 1 1114,99 1114,99 1114,99 1114,99 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-14 1 1 1114,27 1114,27 1114,27 1114,27 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-15 1 1 1114,36 1114,36 1114,36 1114,36 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-16 1 1 1114,56 1114,56 1114,56 1114,56 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-17 1 1 1114,68 1114,68 1114,68 1114,68 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-18 1 1 1114,54 1114,54 1114,54 1114,54 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-21 1 1 1114,53 1114,53 1114,53 1114,53 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-22 1 1 1114,46 1114,46 1114,46 1114,46 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-23 1 1 1114,71 1114,71 1114,71 1114,71 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-24 1 1 1114,63 1114,63 1114,63 1114,63 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-25 1 1 1114,64 1114,64 1114,64 1114,64 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-02-28 1 1 1115,02 1115,02 1115,02 1115,02 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-01 1 1 1115 1115 1115 1115 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-02 1 1 1114,94 1114,94 1114,94 1114,94 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-03 1 1 1115,16 1115,16 1115,16 1115,16 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-04 1 1 1115,38 1115,38 1115,38 1115,38 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-07 1 1 1115,67 1115,67 1115,67 1115,67 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-08 1 1 1116,01 1116,01 1116,01 1116,01 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-09 1 1 1116,08 1116,08 1116,08 1116,08 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-10 1 1 1115,96 1115,96 1115,96 1115,96 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-11 1 1 1115,68 1115,68 1115,68 1115,68 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-14 1 1 1115,91 1115,91 1115,91 1115,91 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-15 1 1 1115,77 1115,77 1115,77 1115,77 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-16 1 1 1115,89 1115,89 1115,89 1115,89 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-17 1 1 1115,9 1115,9 1115,9 1115,9 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-18 1 1 1115,84 1115,84 1115,84 1115,84 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-21 1 1 1115,91 1115,91 1115,91 1115,91 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-22 1 1 1116,02 1116,02 1116,02 1116,02 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-23 1 1 1115,97 1115,97 1115,97 1115,97 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-24 1 1 1116,11 1116,11 1116,11 1116,11 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-29 1 1 1116,42 1116,42 1116,42 1116,42 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-30 1 1 1116,37 1116,37 1116,37 1116,37 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-03-31 1 1 1116,52 1116,52 1116,52 1116,52 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-01 1 1 1116,73 1116,73 1116,73 1116,73 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-04 1 1 1117,24 1117,24 1117,24 1117,24 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-05 1 1 1117,29 1117,29 1117,29 1117,29 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-06 1 1 1117,43 1117,43 1117,43 1117,43 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-07 1 1 1117,41 1117,41 1117,41 1117,41 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-08 1 1 1117,44 1117,44 1117,44 1117,44 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-11 1 1 1117,74 1117,74 1117,74 1117,74 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-12 1 1 1117,8 1117,8 1117,8 1117,8 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-13 1 1 1118,04 1118,04 1118,04 1118,04 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-14 1 1 1118,3 1118,3 1118,3 1118,3 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-15 1 1 1118,55 1118,55 1118,55 1118,55 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-18 1 1 1118,65 1118,65 1118,65 1118,65 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-19 1 1 1118,68 1118,68 1118,68 1118,68 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-20 1 1 1118,8 1118,8 1118,8 1118,8 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-21 1 1 1118,89 1118,89 1118,89 1118,89 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-22 1 1 1119,08 1119,08 1119,08 1119,08 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-25 1 1 1119,36 1119,36 1119,36 1119,36 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-26 1 1 1119,45 1119,45 1119,45 1119,45 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-27 1 1 1119,59 1119,59 1119,59 1119,59 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-28 1 1 1119,52 1119,52 1119,52 1119,52 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-04-29 1 1 1119,7 1119,7 1119,7 1119,7 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-02 1 1 1120,17 1120,17 1120,17 1120,17 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-03 1 1 1120,23 1120,23 1120,23 1120,23 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-04 1 1 1120,18 1120,18 1120,18 1120,18 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-06 1 1 1119,99 1119,99 1119,99 1119,99 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-09 1 1 1120,23 1120,23 1120,23 1120,23 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-10 1 1 1120,41 1120,41 1120,41 1120,41 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-11 1 1 1120,2 1120,2 1120,2 1120,2 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-12 1 1 1120,2 1120,2 1120,2 1120,2 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-13 1 1 1120,38 1120,38 1120,38 1120,38 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-16 1 1 1120,61 1120,61 1120,61 1120,61 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-17 1 1 1120,52 1120,52 1120,52 1120,52 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-18 1 1 1120,95 1120,95 1120,95 1120,95 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-19 1 1 1121,08 1121,08 1121,08 1121,08 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-20 1 1 1120,92 1120,92 1120,92 1120,92 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-23 1 1 1121 1121 1121 1121 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-24 1 1 1120,31 1120,31 1120,31 1120,31 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-25 1 1 1120,48 1120,48 1120,48 1120,48 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-26 1 1 1120,51 1120,51 1120,51 1120,51 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-27 1 1 1121,16 1121,16 1121,16 1121,16 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-30 1 1 1121,22 1121,22 1121,22 1121,22 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-05-31 1 1 1121,51 1121,51 1121,51 1121,51 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-01 1 1 1121,79 1121,79 1121,79 1121,79 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-02 1 1 1121,87 1121,87 1121,87 1121,87 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-03 1 1 1122,13 1122,13 1122,13 1122,13 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-07 1 1 1122,47 1122,47 1122,47 1122,47 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-08 1 1 1123,19 1123,19 1123,19 1123,19 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-09 1 1 1123,37 1123,37 1123,37 1123,37 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-10 1 1 1123,48 1123,48 1123,48 1123,48 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-13 1 1 1123,53 1123,53 1123,53 1123,53 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-14 1 1 1123,32 1123,32 1123,32 1123,32 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-15 1 1 1123,5 1123,5 1123,5 1123,5 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-16 1 1 1123,53 1123,53 1123,53 1123,53 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-17 1 1 1123,71 1123,71 1123,71 1123,71 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-20 1 1 1123,97 1123,97 1123,97 1123,97 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-21 1 1 1124,29 1124,29 1124,29 1124,29 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-22 1 1 1124,66 1124,66 1124,66 1124,66 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-23 1 1 1124,58 1124,58 1124,58 1124,58 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-27 1 1 1124,76 1124,76 1124,76 1124,76 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-28 1 1 1124,73 1124,73 1124,73 1124,73 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-29 1 1 1124,82 1124,82 1124,82 1124,82 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-06-30 1 1 1124,85 1124,85 1124,85 1124,85 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-01 1 1 1124,86 1124,86 1124,86 1124,86 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-04 1 1 1124,83 1124,83 1124,83 1124,83 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-05 1 1 1124,66 1124,66 1124,66 1124,66 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-06 1 1 1124,76 1124,76 1124,76 1124,76 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-07 1 1 1125,05 1125,05 1125,05 1125,05 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-08 1 1 1125,02 1125,02 1125,02 1125,02 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-11 1 1 1125,03 1125,03 1125,03 1125,03 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-12 1 1 1125,19 1125,19 1125,19 1125,19 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-13 1 1 1125,17 1125,17 1125,17 1125,17 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-14 1 1 1125,27 1125,27 1125,27 1125,27 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-15 1 1 1125,21 1125,21 1125,21 1125,21 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-18 1 1 1125,41 1125,41 1125,41 1125,41 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-19 1 1 1125,31 1125,31 1125,31 1125,31 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-20 1 1 1125,38 1125,38 1125,38 1125,38 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-21 1 1 1125,44 1125,44 1125,44 1125,44 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-22 1 1 1125,53 1125,53 1125,53 1125,53 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-25 1 1 1125,76 1125,76 1125,76 1125,76 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-26 1 1 1125,83 1125,83 1125,83 1125,83 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-27 1 1 1125,94 1125,94 1125,94 1125,94 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-28 1 1 1125,8 1125,8 1125,8 1125,8 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-07-29 1 1 1125,73 1125,73 1125,73 1125,73 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-01 1 1 1125,47 1125,47 1125,47 1125,47 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-02 1 1 1125,13 1125,13 1125,13 1125,13 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-03 1 1 1125,01 1125,01 1125,01 1125,01 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-04 1 1 1125,08 1125,08 1125,08 1125,08 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-05 1 1 1124,92 1124,92 1124,92 1124,92 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-08 1 1 1125 1125 1125 1125 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-09 1 1 1125,41 1125,41 1125,41 1125,41 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-10 1 1 1125,58 1125,58 1125,58 1125,58 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-11 1 1 1125,75 1125,75 1125,75 1125,75 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-12 1 1 1125,8 1125,8 1125,8 1125,8 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-15 1 1 1126,03 1126,03 1126,03 1126,03 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-16 1 1 1125,99 1125,99 1125,99 1125,99 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-17 1 1 1126,04 1126,04 1126,04 1126,04 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-18 1 1 1126,04 1126,04 1126,04 1126,04 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-19 1 1 1126,09 1126,09 1126,09 1126,09 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-22 1 1 1126,3 1126,3 1126,3 1126,3 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-23 1 1 1126,3 1126,3 1126,3 1126,3 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-24 1 1 1126,25 1126,25 1126,25 1126,25 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-25 1 1 1126,36 1126,36 1126,36 1126,36 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-26 1 1 1126,32 1126,32 1126,32 1126,32 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-29 1 1 1126,26 1126,26 1126,26 1126,26 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-30 1 1 1126,33 1126,33 1126,33 1126,33 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-08-31 1 1 1126,6 1126,6 1126,6 1126,6 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-01 1 1 1126,86 1126,86 1126,86 1126,86 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-02 1 1 1127,07 1127,07 1127,07 1127,07 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-05 1 1 1127,24 1127,24 1127,24 1127,24 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-06 1 1 1127,46 1127,46 1127,46 1127,46 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-07 1 1 1127,56 1127,56 1127,56 1127,56 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-08 1 1 1127,7 1127,7 1127,7 1127,7 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-09 1 1 1127,78 1127,78 1127,78 1127,78 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-12 1 1 1127,6 1127,6 1127,6 1127,6 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-13 1 1 1127,61 1127,61 1127,61 1127,61 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-14 1 1 1127,66 1127,66 1127,66 1127,66 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-15 1 1 1127,62 1127,62 1127,62 1127,62 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-16 1 1 1127,64 1127,64 1127,64 1127,64 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-19 1 1 1127,76 1127,76 1127,76 1127,76 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-20 1 1 1128,36 1128,36 1128,36 1128,36 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-21 1 1 1128,54 1128,54 1128,54 1128,54 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-22 1 1 1128,44 1128,44 1128,44 1128,44 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-23 1 1 1128,26 1128,26 1128,26 1128,26 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-26 1 1 1128,18 1128,18 1128,18 1128,18 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-27 1 1 1128,17 1128,17 1128,17 1128,17 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-28 1 1 1128,18 1128,18 1128,18 1128,18 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-29 1 1 1128,1 1128,1 1128,1 1128,1 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-09-30 1 1 1127,95 1127,95 1127,95 1127,95 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-03 1 1 1127,98 1127,98 1127,98 1127,98 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-04 1 1 1128,04 1128,04 1128,04 1128,04 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-05 1 1 1128,14 1128,14 1128,14 1128,14 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-06 1 1 1128,72 1128,72 1128,72 1128,72 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-07 1 1 1128,06 1128,06 1128,06 1128,06 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-10 1 1 1128,2 1128,2 1128,2 1128,2 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-11 1 1 1128,29 1128,29 1128,29 1128,29 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-12 1 1 1128,2 1128,2 1128,2 1128,2 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-13 1 1 1128,32 1128,32 1128,32 1128,32 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-14 1 1 1128,67 1128,67 1128,67 1128,67 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-17 1 1 1128,68 1128,68 1128,68 1128,68 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-18 1 1 1128,65 1128,65 1128,65 1128,65 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-19 1 1 1128,88 1128,88 1128,88 1128,88 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-20 1 1 1129,07 1129,07 1129,07 1129,07 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-21 1 1 1129,17 1129,17 1129,17 1129,17 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-24 1 1 1129,3 1129,3 1129,3 1129,3 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-25 1 1 1129,55 1129,55 1129,55 1129,55 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-26 1 1 1129,3 1129,3 1129,3 1129,3 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-27 1 1 1129,4 1129,4 1129,4 1129,4 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-28 1 1 1129,25 1129,25 1129,25 1129,25 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-10-31 1 1 1129,28 1129,28 1129,28 1129,28 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-01 1 1 1129,03 1129,03 1129,03 1129,03 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-02 1 1 1128,75 1128,75 1128,75 1128,75 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-03 1 1 1128,93 1128,93 1128,93 1128,93 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-04 1 1 1128,64 1128,64 1128,64 1128,64 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-07 1 1 1128,57 1128,57 1128,57 1128,57 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-08 1 1 1128,07 1128,07 1128,07 1128,07 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-09 1 1 1102,19 1102,19 1102,19 1102,19 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-10 1 1 1102,02 1102,02 1102,02 1102,02 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-11 1 1 1102,38 1102,38 1102,38 1102,38 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-14 1 1 1102,58 1102,58 1102,58 1102,58 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-15 1 1 1102,46 1102,46 1102,46 1102,46 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-16 1 1 1102,4 1102,4 1102,4 1102,4 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-17 1 1 1102,83 1102,83 1102,83 1102,83 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-18 1 1 1102,74 1102,74 1102,74 1102,74 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-21 1 1 1102,87 1102,87 1102,87 1102,87 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-22 1 1 1103,06 1103,06 1103,06 1103,06 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-23 1 1 1103,55 1103,55 1103,55 1103,55 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-24 1 1 1103,76 1103,76 1103,76 1103,76 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-25 1 1 1103,3 1103,3 1103,3 1103,3 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-28 1 1 1103,53 1103,53 1103,53 1103,53 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-29 1 1 1102,84 1102,84 1102,84 1102,84 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-11-30 1 1 1102,81 1102,81 1102,81 1102,81 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-01 1 1 1102,96 1102,96 1102,96 1102,96 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-02 1 1 1102,39 1102,39 1102,39 1102,39 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-05 1 1 1102,28 1102,28 1102,28 1102,28 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-06 1 1 1102,25 1102,25 1102,25 1102,25 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-07 1 1 1102,94 1102,94 1102,94 1102,94 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-08 1 1 1102,93 1102,93 1102,93 1102,93 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-12 1 1 1103,06 1103,06 1103,06 1103,06 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-13 1 1 1103,16 1103,16 1103,16 1103,16 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-14 1 1 1103,42 1103,42 1103,42 1103,42 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-15 1 1 1102,61 1102,61 1102,61 1102,61 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-16 1 1 1103,5 1103,5 1103,5 1103,5 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-19 1 1 1103,58 1103,58 1103,58 1103,58 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-20 1 1 1103,62 1103,62 1103,62 1103,62 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-21 1 1 1103,55 1103,55 1103,55 1103,55 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-22 1 1 1103,5 1103,5 1103,5 1103,5 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-23 1 1 1103,47 1103,47 1103,47 1103,47 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-27 1 1 1103,71 1103,71 1103,71 1103,71 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-28 1 1 1103,75 1103,75 1103,75 1103,75 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-29 1 1 1103,69 1103,69 1103,69 1103,69 865774 Danske Capital Sverige AB Danske Fonder Sverige Likviditet SEK 2005-12-30 1 1 1103,78 1103,78 1103,78 1103,78 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-03 1 1 1193,72 1193,72 1193,72 1193,72 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-04 1 1 1196,28 1196,28 1196,28 1196,28 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-05 1 1 1192,84 1192,84 1192,84 1192,84 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-07 1 1 1197,31 1197,31 1197,31 1197,31 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-10 1 1 1199,11 1199,11 1199,11 1199,11 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-11 1 1 1198,88 1198,88 1198,88 1198,88 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-12 1 1 1199,46 1199,46 1199,46 1199,46 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-13 1 1 1200,62 1200,62 1200,62 1200,62 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-14 1 1 1201,92 1201,92 1201,92 1201,92 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-17 1 1 1203,26 1203,26 1203,26 1203,26 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-18 1 1 1203,01 1203,01 1203,01 1203,01 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-19 1 1 1204,99 1204,99 1204,99 1204,99 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-20 1 1 1201,73 1201,73 1201,73 1201,73 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-21 1 1 1203,01 1203,01 1203,01 1203,01 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-24 1 1 1206,36 1206,36 1206,36 1206,36 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-25 1 1 1207,02 1207,02 1207,02 1207,02 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-26 1 1 1204,64 1204,64 1204,64 1204,64 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-27 1 1 1202,46 1202,46 1202,46 1202,46 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-28 1 1 1205,71 1205,71 1205,71 1205,71 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-01-31 1 1 1206,94 1206,94 1206,94 1206,94 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-01 1 1 1207,24 1207,24 1207,24 1207,24 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-02 1 1 1208,68 1208,68 1208,68 1208,68 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-03 1 1 1206,48 1206,48 1206,48 1206,48 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-04 1 1 1209,25 1209,25 1209,25 1209,25 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-07 1 1 1210,36 1210,36 1210,36 1210,36 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-08 1 1 1210,27 1210,27 1210,27 1210,27 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-09 1 1 1212,05 1212,05 1212,05 1212,05 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-10 1 1 1213,19 1213,19 1213,19 1213,19 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-11 1 1 1213,79 1213,79 1213,79 1213,79 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-14 1 1 1211,79 1211,79 1211,79 1211,79 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-15 1 1 1211,79 1211,79 1211,79 1211,79 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-16 1 1 1213,12 1213,12 1213,12 1213,12 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-17 1 1 1210,69 1210,69 1210,69 1210,69 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-18 1 1 1207,2 1207,2 1207,2 1207,2 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-21 1 1 1204,47 1204,47 1204,47 1204,47 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-22 1 1 1202,08 1202,08 1202,08 1202,08 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-23 1 1 1205,72 1205,72 1205,72 1205,72 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-24 1 1 1203,18 1203,18 1203,18 1203,18 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-25 1 1 1202,57 1202,57 1202,57 1202,57 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-02-28 1 1 1204,04 1204,04 1204,04 1204,04 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-01 1 1 1202,18 1202,18 1202,18 1202,18 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-02 1 1 1200,06 1200,06 1200,06 1200,06 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-03 1 1 1201,62 1201,62 1201,62 1201,62 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-04 1 1 1203,98 1203,98 1203,98 1203,98 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-07 1 1 1206,38 1206,38 1206,38 1206,38 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-08 1 1 1208,9 1208,9 1208,9 1208,9 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-09 1 1 1204,75 1204,75 1204,75 1204,75 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-10 1 1 1204,18 1204,18 1204,18 1204,18 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-11 1 1 1201,78 1201,78 1201,78 1201,78 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-14 1 1 1201,99 1201,99 1201,99 1201,99 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-15 1 1 1204,83 1204,83 1204,83 1204,83 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-16 1 1 1204,34 1204,34 1204,34 1204,34 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-17 1 1 1204,67 1204,67 1204,67 1204,67 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-18 1 1 1204,11 1204,11 1204,11 1204,11 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-21 1 1 1203,5 1203,5 1203,5 1203,5 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-22 1 1 1205,07 1205,07 1205,07 1205,07 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-23 1 1 1204,5 1204,5 1204,5 1204,5 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-24 1 1 1205,56 1205,56 1205,56 1205,56 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-29 1 1 1205,93 1205,93 1205,93 1205,93 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-30 1 1 1207,82 1207,82 1207,82 1207,82 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-03-31 1 1 1209,03 1209,03 1209,03 1209,03 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-01 1 1 1211,17 1211,17 1211,17 1211,17 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-04 1 1 1212,82 1212,82 1212,82 1212,82 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-05 1 1 1213,39 1213,39 1213,39 1213,39 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-06 1 1 1213,8 1213,8 1213,8 1213,8 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-07 1 1 1213,07 1213,07 1213,07 1213,07 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-08 1 1 1212,86 1212,86 1212,86 1212,86 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-11 1 1 1214,23 1214,23 1214,23 1214,23 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-12 1 1 1214,76 1214,76 1214,76 1214,76 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-13 1 1 1217,58 1217,58 1217,58 1217,58 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-14 1 1 1218,62 1218,62 1218,62 1218,62 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-15 1 1 1220,8 1220,8 1220,8 1220,8 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-18 1 1 1221,49 1221,49 1221,49 1221,49 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-19 1 1 1221,21 1221,21 1221,21 1221,21 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-20 1 1 1220,56 1220,56 1220,56 1220,56 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-21 1 1 1221,88 1221,88 1221,88 1221,88 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-22 1 1 1224,6 1224,6 1224,6 1224,6 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-25 1 1 1226,56 1226,56 1226,56 1226,56 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-26 1 1 1228,44 1228,44 1228,44 1228,44 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-27 1 1 1227,58 1227,58 1227,58 1227,58 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-28 1 1 1230,78 1230,78 1230,78 1230,78 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-04-29 1 1 1229,8 1229,8 1229,8 1229,8 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-02 1 1 1234,05 1234,05 1234,05 1234,05 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-03 1 1 1232,72 1232,72 1232,72 1232,72 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-04 1 1 1229,35 1229,35 1229,35 1229,35 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-06 1 1 1225,12 1225,12 1225,12 1225,12 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-09 1 1 1227,13 1227,13 1227,13 1227,13 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-10 1 1 1231,84 1231,84 1231,84 1231,84 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-11 1 1 1233,77 1233,77 1233,77 1233,77 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-12 1 1 1233,43 1233,43 1233,43 1233,43 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-13 1 1 1235,57 1235,57 1235,57 1235,57 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-16 1 1 1237,19 1237,19 1237,19 1237,19 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-17 1 1 1236,52 1236,52 1236,52 1236,52 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-18 1 1 1239,85 1239,85 1239,85 1239,85 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-19 1 1 1239,8 1239,8 1239,8 1239,8 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-20 1 1 1237,31 1237,31 1237,31 1237,31 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-23 1 1 1236,37 1236,37 1236,37 1236,37 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-24 1 1 1239,31 1239,31 1239,31 1239,31 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-25 1 1 1241,51 1241,51 1241,51 1241,51 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-26 1 1 1239,73 1239,73 1239,73 1239,73 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-27 1 1 1239,43 1239,43 1239,43 1239,43 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-30 1 1 1237,88 1237,88 1237,88 1237,88 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-05-31 1 1 1241,2 1241,2 1241,2 1241,2 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-01 1 1 1243,6 1243,6 1243,6 1243,6 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-02 1 1 1245,17 1245,17 1245,17 1245,17 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-03 1 1 1249,43 1249,43 1249,43 1249,43 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-07 1 1 1250,59 1250,59 1250,59 1250,59 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-08 1 1 1254,24 1254,24 1254,24 1254,24 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-09 1 1 1254,1 1254,1 1254,1 1254,1 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-10 1 1 1255,22 1255,22 1255,22 1255,22 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-13 1 1 1252,4 1252,4 1252,4 1252,4 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-14 1 1 1184,09 1184,09 1184,09 1184,09 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-15 1 1 1181,67 1181,67 1181,67 1181,67 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-16 1 1 1177,38 1177,38 1177,38 1177,38 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-17 1 1 1179,3 1179,3 1179,3 1179,3 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-20 1 1 1180,97 1180,97 1180,97 1180,97 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-21 1 1 1186,53 1186,53 1186,53 1186,53 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-22 1 1 1191,63 1191,63 1191,63 1191,63 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-23 1 1 1190,6 1190,6 1190,6 1190,6 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-27 1 1 1192,52 1192,52 1192,52 1192,52 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-28 1 1 1191,15 1191,15 1191,15 1191,15 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-29 1 1 1192,06 1192,06 1192,06 1192,06 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-06-30 1 1 1192,5 1192,5 1192,5 1192,5 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-01 1 1 1193,96 1193,96 1193,96 1193,96 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-04 1 1 1191,57 1191,57 1191,57 1191,57 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-05 1 1 1188,6 1188,6 1188,6 1188,6 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-06 1 1 1189,15 1189,15 1189,15 1189,15 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-07 1 1 1192,16 1192,16 1192,16 1192,16 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-08 1 1 1191,63 1191,63 1191,63 1191,63 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-11 1 1 1189,59 1189,59 1189,59 1189,59 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-12 1 1 1187,83 1187,83 1187,83 1187,83 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-13 1 1 1186,99 1186,99 1186,99 1186,99 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-14 1 1 1186,89 1186,89 1186,89 1186,89 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-15 1 1 1185,18 1185,18 1185,18 1185,18 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-18 1 1 1186,53 1186,53 1186,53 1186,53 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-19 1 1 1184,97 1184,97 1184,97 1184,97 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-20 1 1 1185,96 1185,96 1185,96 1185,96 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-21 1 1 1187,11 1187,11 1187,11 1187,11 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-22 1 1 1188,59 1188,59 1188,59 1188,59 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-25 1 1 1190,46 1190,46 1190,46 1190,46 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-26 1 1 1189,93 1189,93 1189,93 1189,93 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-27 1 1 1191,81 1191,81 1191,81 1191,81 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-28 1 1 1189,9 1189,9 1189,9 1189,9 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-07-29 1 1 1189,64 1189,64 1189,64 1189,64 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-01 1 1 1184,73 1184,73 1184,73 1184,73 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-02 1 1 1181,16 1181,16 1181,16 1181,16 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-03 1 1 1180,99 1180,99 1180,99 1180,99 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-04 1 1 1181,96 1181,96 1181,96 1181,96 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-05 1 1 1179,23 1179,23 1179,23 1179,23 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-08 1 1 1179,05 1179,05 1179,05 1179,05 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-09 1 1 1179,33 1179,33 1179,33 1179,33 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-10 1 1 1181,14 1181,14 1181,14 1181,14 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-11 1 1 1181,47 1181,47 1181,47 1181,47 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-12 1 1 1181,97 1181,97 1181,97 1181,97 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-15 1 1 1182,92 1182,92 1182,92 1182,92 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-16 1 1 1182,85 1182,85 1182,85 1182,85 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-17 1 1 1183,89 1183,89 1183,89 1183,89 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-18 1 1 1184,1 1184,1 1184,1 1184,1 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-19 1 1 1183,66 1183,66 1183,66 1183,66 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-22 1 1 1186,49 1186,49 1186,49 1186,49 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-23 1 1 1187,11 1187,11 1187,11 1187,11 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-24 1 1 1187,81 1187,81 1187,81 1187,81 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-25 1 1 1188,93 1188,93 1188,93 1188,93 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-26 1 1 1189,4 1189,4 1189,4 1189,4 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-29 1 1 1188,61 1188,61 1188,61 1188,61 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-30 1 1 1188,8 1188,8 1188,8 1188,8 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-08-31 1 1 1190,64 1190,64 1190,64 1190,64 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-01 1 1 1193,45 1193,45 1193,45 1193,45 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-02 1 1 1193,96 1193,96 1193,96 1193,96 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-05 1 1 1194,94 1194,94 1194,94 1194,94 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-06 1 1 1193,5 1193,5 1193,5 1193,5 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-07 1 1 1193,08 1193,08 1193,08 1193,08 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-08 1 1 1195,22 1195,22 1195,22 1195,22 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-09 1 1 1197,23 1197,23 1197,23 1197,23 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-12 1 1 1193,43 1193,43 1193,43 1193,43 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-13 1 1 1192,97 1192,97 1192,97 1192,97 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-14 1 1 1193,63 1193,63 1193,63 1193,63 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-15 1 1 1192,13 1192,13 1192,13 1192,13 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-16 1 1 1190,93 1190,93 1190,93 1190,93 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-19 1 1 1190,98 1190,98 1190,98 1190,98 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-20 1 1 1192,79 1192,79 1192,79 1192,79 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-21 1 1 1195,33 1195,33 1195,33 1195,33 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-22 1 1 1195,41 1195,41 1195,41 1195,41 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-23 1 1 1193,7 1193,7 1193,7 1193,7 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-26 1 1 1190,48 1190,48 1190,48 1190,48 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-27 1 1 1190,53 1190,53 1190,53 1190,53 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-28 1 1 1189,61 1189,61 1189,61 1189,61 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-29 1 1 1189,01 1189,01 1189,01 1189,01 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-09-30 1 1 1188,44 1188,44 1188,44 1188,44 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-03 1 1 1185,99 1185,99 1185,99 1185,99 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-04 1 1 1185,01 1185,01 1185,01 1185,01 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-05 1 1 1186,41 1186,41 1186,41 1186,41 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-06 1 1 1184,34 1184,34 1184,34 1184,34 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-07 1 1 1184,07 1184,07 1184,07 1184,07 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-10 1 1 1185,05 1185,05 1185,05 1185,05 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-11 1 1 1185,22 1185,22 1185,22 1185,22 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-12 1 1 1183,05 1183,05 1183,05 1183,05 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-13 1 1 1181,82 1181,82 1181,82 1181,82 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-14 1 1 1183,53 1183,53 1183,53 1183,53 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-17 1 1 1182,32 1182,32 1182,32 1182,32 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-18 1 1 1180,3 1180,3 1180,3 1180,3 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-19 1 1 1182,79 1182,79 1182,79 1182,79 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-20 1 1 1182,82 1182,82 1182,82 1182,82 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-21 1 1 1186,45 1186,45 1186,45 1186,45 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-24 1 1 1187,32 1187,32 1187,32 1187,32 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-25 1 1 1184,72 1184,72 1184,72 1184,72 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-26 1 1 1181,49 1181,49 1181,49 1181,49 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-27 1 1 1180,47 1180,47 1180,47 1180,47 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-28 1 1 1178,74 1178,74 1178,74 1178,74 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-10-31 1 1 1178,07 1178,07 1178,07 1178,07 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-01 1 1 1178,9 1178,9 1178,9 1178,9 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-02 1 1 1175,99 1175,99 1175,99 1175,99 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-03 1 1 1178,16 1178,16 1178,16 1178,16 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-04 1 1 1173,78 1173,78 1173,78 1173,78 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-07 1 1 1172,98 1172,98 1172,98 1172,98 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-08 1 1 1170,88 1170,88 1170,88 1170,88 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-09 1 1 1171,84 1171,84 1171,84 1171,84 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-10 1 1 1171,47 1171,47 1171,47 1171,47 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-11 1 1 1171,92 1171,92 1171,92 1171,92 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-14 1 1 1173,46 1173,46 1173,46 1173,46 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-15 1 1 1171,1 1171,1 1171,1 1171,1 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-16 1 1 1175,64 1175,64 1175,64 1175,64 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-17 1 1 1174,04 1174,04 1174,04 1174,04 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-18 1 1 1173,25 1173,25 1173,25 1173,25 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-21 1 1 1173,43 1173,43 1173,43 1173,43 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-22 1 1 1174,09 1174,09 1174,09 1174,09 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-23 1 1 1175,09 1175,09 1175,09 1175,09 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-24 1 1 1177,38 1177,38 1177,38 1177,38 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-25 1 1 1177,73 1177,73 1177,73 1177,73 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-28 1 1 1176,9 1176,9 1176,9 1176,9 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-29 1 1 1177,93 1177,93 1177,93 1177,93 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-11-30 1 1 1176,21 1176,21 1176,21 1176,21 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-01 1 1 1178,04 1178,04 1178,04 1178,04 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-02 1 1 1174,01 1174,01 1174,01 1174,01 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-05 1 1 1171,72 1171,72 1171,72 1171,72 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-06 1 1 1172,07 1172,07 1172,07 1172,07 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-07 1 1 1172,32 1172,32 1172,32 1172,32 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-08 1 1 1173,06 1173,06 1173,06 1173,06 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-12 1 1 1172,17 1172,17 1172,17 1172,17 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-13 1 1 1172,65 1172,65 1172,65 1172,65 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-14 1 1 1175,48 1175,48 1175,48 1175,48 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-15 1 1 1175,78 1175,78 1175,78 1175,78 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-16 1 1 1177,69 1177,69 1177,69 1177,69 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-19 1 1 1178,67 1178,67 1178,67 1178,67 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-20 1 1 1178,59 1178,59 1178,59 1178,59 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-21 1 1 1176,67 1176,67 1176,67 1176,67 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-22 1 1 1174,6 1174,6 1174,6 1174,6 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-23 1 1 1175,85 1175,85 1175,85 1175,85 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-27 1 1 1178,27 1178,27 1178,27 1178,27 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-28 1 1 1178,17 1178,17 1178,17 1178,17 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-29 1 1 1177,51 1177,51 1177,51 1177,51 901603 Danske Capital Sverige AB Danske Fonder Sverige Obligationer SEK 2005-12-30 1 1 1178,97 1178,97 1178,97 1178,97 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-03 1 1 91,48 91,48 91,48 91,48 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-04 1 1 91,61 91,61 91,61 91,61 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-05 1 1 90,98 90,98 90,98 90,98 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-07 1 1 91,36 91,36 91,36 91,36 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-10 1 1 91,88 91,88 91,88 91,88 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-11 1 1 91,29 91,29 91,29 91,29 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-12 1 1 90,58 90,58 90,58 90,58 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-13 1 1 90,01 90,01 90,01 90,01 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-14 1 1 90,36 90,36 90,36 90,36 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-17 1 1 90,92 90,92 90,92 90,92 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-18 1 1 90,45 90,45 90,45 90,45 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-19 1 1 91,3 91,3 91,3 91,3 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-20 1 1 90,3 90,3 90,3 90,3 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-21 1 1 90,47 90,47 90,47 90,47 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-24 1 1 89,72 89,72 89,72 89,72 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-25 1 1 90,2 90,2 90,2 90,2 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-26 1 1 90,67 90,67 90,67 90,67 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-27 1 1 90,99 90,99 90,99 90,99 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-28 1 1 90,66 90,66 90,66 90,66 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-01-31 1 1 91,2 91,2 91,2 91,2 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-01 1 1 91,43 91,43 91,43 91,43 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-02 1 1 92,14 92,14 92,14 92,14 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-03 1 1 92,06 92,06 92,06 92,06 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-04 1 1 92,68 92,68 92,68 92,68 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-07 1 1 93,57 93,57 93,57 93,57 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-08 1 1 93,68 93,68 93,68 93,68 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-09 1 1 94,04 94,04 94,04 94,04 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-10 1 1 93,47 93,47 93,47 93,47 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-11 1 1 93,99 93,99 93,99 93,99 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-14 1 1 94,42 94,42 94,42 94,42 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-15 1 1 94,62 94,62 94,62 94,62 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-16 1 1 93,89 93,89 93,89 93,89 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-17 1 1 94,52 94,52 94,52 94,52 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-18 1 1 93,93 93,93 93,93 93,93 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-21 1 1 94,25 94,25 94,25 94,25 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-22 1 1 93,38 93,38 93,38 93,38 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-23 1 1 93,54 93,54 93,54 93,54 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-24 1 1 93,76 93,76 93,76 93,76 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-25 1 1 94,41 94,41 94,41 94,41 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-02-28 1 1 94,73 94,73 94,73 94,73 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-01 1 1 94,86 94,86 94,86 94,86 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-02 1 1 95,05 95,05 95,05 95,05 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-03 1 1 95,6 95,6 95,6 95,6 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-04 1 1 95,98 95,98 95,98 95,98 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-07 1 1 95,81 95,81 95,81 95,81 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-08 1 1 95,74 95,74 95,74 95,74 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-09 1 1 95,15 95,15 95,15 95,15 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-10 1 1 94,55 94,55 94,55 94,55 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-11 1 1 94,8 94,8 94,8 94,8 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-14 1 1 94,74 94,74 94,74 94,74 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-15 1 1 95,39 95,39 95,39 95,39 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-16 1 1 94,69 94,69 94,69 94,69 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-17 1 1 94,69 94,69 94,69 94,69 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-18 1 1 94,85 94,85 94,85 94,85 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-21 1 1 94,67 94,67 94,67 94,67 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-22 1 1 94,41 94,41 94,41 94,41 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-23 1 1 93,82 93,82 93,82 93,82 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-24 1 1 94,7 94,7 94,7 94,7 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-29 1 1 95,03 95,03 95,03 95,03 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-30 1 1 94,73 94,73 94,73 94,73 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-03-31 1 1 95,33 95,33 95,33 95,33 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-01 1 1 95,54 95,54 95,54 95,54 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-04 1 1 95,35 95,35 95,35 95,35 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-05 1 1 96,11 96,11 96,11 96,11 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-06 1 1 96,8 96,8 96,8 96,8 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-07 1 1 96,89 96,89 96,89 96,89 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-08 1 1 97,53 97,53 97,53 97,53 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-11 1 1 97,32 97,32 97,32 97,32 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-12 1 1 97,11 97,11 97,11 97,11 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-13 1 1 97,59 97,59 97,59 97,59 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-14 1 1 97,82 97,82 97,82 97,82 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-15 1 1 96,47 96,47 96,47 96,47 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-18 1 1 94,65 94,65 94,65 94,65 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-19 1 1 95,31 95,31 95,31 95,31 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-20 1 1 95,82 95,82 95,82 95,82 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-21 1 1 95,25 95,25 95,25 95,25 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-22 1 1 96,15 96,15 96,15 96,15 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-25 1 1 95,74 95,74 95,74 95,74 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-26 1 1 95,26 95,26 95,26 95,26 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-27 1 1 93,79 93,79 93,79 93,79 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-28 1 1 92,75 92,75 92,75 92,75 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-04-29 1 1 93,45 93,45 93,45 93,45 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-02 1 1 94,09 94,09 94,09 94,09 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-03 1 1 94,42 94,42 94,42 94,42 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-04 1 1 94,44 94,44 94,44 94,44 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-06 1 1 95,49 95,49 95,49 95,49 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-09 1 1 95,52 95,52 95,52 95,52 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-10 1 1 95,19 95,19 95,19 95,19 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-11 1 1 95,44 95,44 95,44 95,44 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-12 1 1 95,78 95,78 95,78 95,78 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-13 1 1 96,09 96,09 96,09 96,09 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-16 1 1 95,95 95,95 95,95 95,95 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-17 1 1 96,18 96,18 96,18 96,18 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-18 1 1 96,88 96,88 96,88 96,88 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-19 1 1 97,25 97,25 97,25 97,25 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-20 1 1 97,24 97,24 97,24 97,24 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-23 1 1 97,59 97,59 97,59 97,59 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-24 1 1 97,63 97,63 97,63 97,63 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-25 1 1 97,83 97,83 97,83 97,83 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-26 1 1 98,37 98,37 98,37 98,37 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-27 1 1 98,35 98,35 98,35 98,35 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-30 1 1 98,59 98,59 98,59 98,59 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-05-31 1 1 98,95 98,95 98,95 98,95 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-01 1 1 98,85 98,85 98,85 98,85 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-02 1 1 99,06 99,06 99,06 99,06 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-03 1 1 99,17 99,17 99,17 99,17 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-07 1 1 99,13 99,13 99,13 99,13 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-08 1 1 98,35 98,35 98,35 98,35 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-09 1 1 98,29 98,29 98,29 98,29 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-10 1 1 99,18 99,18 99,18 99,18 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-13 1 1 99,2 99,2 99,2 99,2 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-14 1 1 99,55 99,55 99,55 99,55 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-15 1 1 99,98 99,98 99,98 99,98 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-16 1 1 99,57 99,57 99,57 99,57 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-17 1 1 100,25 100,25 100,25 100,25 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-20 1 1 99,87 99,87 99,87 99,87 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-21 1 1 100,38 100,38 100,38 100,38 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-22 1 1 101,08 101,08 101,08 101,08 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-23 1 1 101,93 101,93 101,93 101,93 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-27 1 1 100,36 100,36 100,36 100,36 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-28 1 1 100,9 100,9 100,9 100,9 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-29 1 1 101,91 101,91 101,91 101,91 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-06-30 1 1 102,45 102,45 102,45 102,45 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-01 1 1 102,76 102,76 102,76 102,76 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-04 1 1 103,37 103,37 103,37 103,37 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-05 1 1 103,07 103,07 103,07 103,07 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-06 1 1 103,27 103,27 103,27 103,27 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-07 1 1 101,47 101,47 101,47 101,47 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-08 1 1 103,12 103,12 103,12 103,12 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-11 1 1 104,63 104,63 104,63 104,63 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-12 1 1 104,65 104,65 104,65 104,65 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-13 1 1 104,79 104,79 104,79 104,79 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-14 1 1 105,37 105,37 105,37 105,37 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-15 1 1 105,09 105,09 105,09 105,09 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-18 1 1 104,76 104,76 104,76 104,76 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-19 1 1 104,93 104,93 104,93 104,93 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-20 1 1 104,76 104,76 104,76 104,76 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-21 1 1 105,62 105,62 105,62 105,62 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-22 1 1 105,86 105,86 105,86 105,86 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-25 1 1 105,95 105,95 105,95 105,95 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-26 1 1 106,52 106,52 106,52 106,52 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-27 1 1 106,76 106,76 106,76 106,76 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-28 1 1 107,25 107,25 107,25 107,25 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-07-29 1 1 107,5 107,5 107,5 107,5 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-01 1 1 107,24 107,24 107,24 107,24 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-02 1 1 107,62 107,62 107,62 107,62 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-03 1 1 107,87 107,87 107,87 107,87 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-04 1 1 107,03 107,03 107,03 107,03 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-05 1 1 106,72 106,72 106,72 106,72 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-08 1 1 106,94 106,94 106,94 106,94 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-09 1 1 107,15 107,15 107,15 107,15 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-10 1 1 108,11 108,11 108,11 108,11 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-11 1 1 107,55 107,55 107,55 107,55 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-12 1 1 107,29 107,29 107,29 107,29 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-15 1 1 107,35 107,35 107,35 107,35 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-16 1 1 107,53 107,53 107,53 107,53 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-17 1 1 106,41 106,41 106,41 106,41 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-18 1 1 106,62 106,62 106,62 106,62 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-19 1 1 107,08 107,08 107,08 107,08 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-22 1 1 107,29 107,29 107,29 107,29 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-23 1 1 106,97 106,97 106,97 106,97 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-24 1 1 105,38 105,38 105,38 105,38 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-25 1 1 104,75 104,75 104,75 104,75 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-26 1 1 104,16 104,16 104,16 104,16 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-29 1 1 103,83 103,83 103,83 103,83 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-30 1 1 104,62 104,62 104,62 104,62 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-08-31 1 1 105,28 105,28 105,28 105,28 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-01 1 1 106,26 106,26 106,26 106,26 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-02 1 1 105,69 105,69 105,69 105,69 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-05 1 1 106,37 106,37 106,37 106,37 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-06 1 1 107,01 107,01 107,01 107,01 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-07 1 1 107,47 107,47 107,47 107,47 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-08 1 1 107,34 107,34 107,34 107,34 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-09 1 1 107,86 107,86 107,86 107,86 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-12 1 1 108 108 108 108 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-13 1 1 107,77 107,77 107,77 107,77 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-14 1 1 108,27 108,27 108,27 108,27 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-15 1 1 108,21 108,21 108,21 108,21 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-16 1 1 108,67 108,67 108,67 108,67 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-19 1 1 109,04 109,04 109,04 109,04 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-20 1 1 108,77 108,77 108,77 108,77 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-21 1 1 108,19 108,19 108,19 108,19 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-22 1 1 107,81 107,81 107,81 107,81 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-23 1 1 108,3 108,3 108,3 108,3 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-26 1 1 109,3 109,3 109,3 109,3 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-27 1 1 109,78 109,78 109,78 109,78 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-28 1 1 110,51 110,51 110,51 110,51 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-29 1 1 110,91 110,91 110,91 110,91 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-09-30 1 1 110,96 110,96 110,96 110,96 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-03 1 1 111,3 111,3 111,3 111,3 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-04 1 1 111,45 111,45 111,45 111,45 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-05 1 1 111,02 111,02 111,02 111,02 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-06 1 1 109,53 109,53 109,53 109,53 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-07 1 1 109,43 109,43 109,43 109,43 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-10 1 1 110,42 110,42 110,42 110,42 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-11 1 1 110,47 110,47 110,47 110,47 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-12 1 1 109,68 109,68 109,68 109,68 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-13 1 1 108,31 108,31 108,31 108,31 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-14 1 1 108,71 108,71 108,71 108,71 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-17 1 1 108,85 108,85 108,85 108,85 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-18 1 1 108,46 108,46 108,46 108,46 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-19 1 1 106,44 106,44 106,44 106,44 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-20 1 1 107,01 107,01 107,01 107,01 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-21 1 1 105,85 105,85 105,85 105,85 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-24 1 1 107,05 107,05 107,05 107,05 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-25 1 1 107,71 107,71 107,71 107,71 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-26 1 1 108,12 108,12 108,12 108,12 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-27 1 1 107,28 107,28 107,28 107,28 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-28 1 1 106,97 106,97 106,97 106,97 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-10-31 1 1 108,74 108,74 108,74 108,74 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-01 1 1 109,9 109,9 109,9 109,9 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-02 1 1 110 110 110 110 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-03 1 1 112,03 112,03 112,03 112,03 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-04 1 1 112,04 112,04 112,04 112,04 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-07 1 1 112,51 112,51 112,51 112,51 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-08 1 1 112,17 112,17 112,17 112,17 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-09 1 1 112,2 112,2 112,2 112,2 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-10 1 1 112,79 112,79 112,79 112,79 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-11 1 1 113,16 113,16 113,16 113,16 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-14 1 1 113,58 113,58 113,58 113,58 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-15 1 1 113,5 113,5 113,5 113,5 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-16 1 1 112,85 112,85 112,85 112,85 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-17 1 1 113,7 113,7 113,7 113,7 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-18 1 1 114,14 114,14 114,14 114,14 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-21 1 1 114,03 114,03 114,03 114,03 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-22 1 1 114,21 114,21 114,21 114,21 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-23 1 1 114,1 114,1 114,1 114,1 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-24 1 1 113,84 113,84 113,84 113,84 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-25 1 1 114,11 114,11 114,11 114,11 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-28 1 1 114,5 114,5 114,5 114,5 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-29 1 1 114,23 114,23 114,23 114,23 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-11-30 1 1 113,72 113,72 113,72 113,72 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-01 1 1 114,76 114,76 114,76 114,76 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-02 1 1 115,38 115,38 115,38 115,38 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-05 1 1 115,76 115,76 115,76 115,76 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-06 1 1 116,07 116,07 116,07 116,07 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-07 1 1 116,27 116,27 116,27 116,27 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-08 1 1 116,02 116,02 116,02 116,02 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-12 1 1 116,21 116,21 116,21 116,21 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-13 1 1 116,31 116,31 116,31 116,31 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-14 1 1 116,16 116,16 116,16 116,16 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-15 1 1 115,8 115,8 115,8 115,8 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-16 1 1 116,45 116,45 116,45 116,45 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-19 1 1 116,58 116,58 116,58 116,58 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-20 1 1 116,59 116,59 116,59 116,59 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-21 1 1 117,38 117,38 117,38 117,38 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-22 1 1 117,56 117,56 117,56 117,56 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-23 1 1 118,3 118,3 118,3 118,3 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-27 1 1 118,98 118,98 118,98 118,98 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-28 1 1 118,6 118,6 118,6 118,6 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-29 1 1 118,81 118,81 118,81 118,81 937433 Danske Capital Sverige AB Danske Fonder Sverige/Europa SEK 2005-12-30 1 1 118,5 118,5 118,5 118,5 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-03 1 1 71,63 71,63 71,63 71,63 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-04 1 1 71,62 71,62 71,62 71,62 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-05 1 1 71,15 71,15 71,15 71,15 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-07 1 1 71,72 71,72 71,72 71,72 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-10 1 1 71,84 71,84 71,84 71,84 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-11 1 1 71,32 71,32 71,32 71,32 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-12 1 1 71,01 71,01 71,01 71,01 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-13 1 1 70,76 70,76 70,76 70,76 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-14 1 1 71,1 71,1 71,1 71,1 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-17 1 1 71,51 71,51 71,51 71,51 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-18 1 1 71,16 71,16 71,16 71,16 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-19 1 1 71,73 71,73 71,73 71,73 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-20 1 1 71,03 71,03 71,03 71,03 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-21 1 1 71,44 71,44 71,44 71,44 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-24 1 1 71,23 71,23 71,23 71,23 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-25 1 1 71,65 71,65 71,65 71,65 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-26 1 1 71,95 71,95 71,95 71,95 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-27 1 1 71,96 71,96 71,96 71,96 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-28 1 1 72,06 72,06 72,06 72,06 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-01-31 1 1 72,4 72,4 72,4 72,4 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-01 1 1 72,63 72,63 72,63 72,63 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-02 1 1 72,8 72,8 72,8 72,8 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-03 1 1 72,96 72,96 72,96 72,96 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-04 1 1 73,39 73,39 73,39 73,39 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-07 1 1 73,96 73,96 73,96 73,96 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-08 1 1 73,97 73,97 73,97 73,97 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-09 1 1 74,29 74,29 74,29 74,29 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-10 1 1 74,39 74,39 74,39 74,39 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-11 1 1 74,78 74,78 74,78 74,78 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-14 1 1 75,15 75,15 75,15 75,15 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-15 1 1 75,3 75,3 75,3 75,3 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-16 1 1 74,85 74,85 74,85 74,85 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-17 1 1 75,45 75,45 75,45 75,45 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-18 1 1 75,21 75,21 75,21 75,21 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-21 1 1 75,55 75,55 75,55 75,55 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-22 1 1 74,66 74,66 74,66 74,66 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-23 1 1 74,39 74,39 74,39 74,39 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-24 1 1 74,36 74,36 74,36 74,36 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-25 1 1 74,8 74,8 74,8 74,8 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-02-28 1 1 74,93 74,93 74,93 74,93 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-01 1 1 75,18 75,18 75,18 75,18 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-02 1 1 75,3 75,3 75,3 75,3 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-03 1 1 75,56 75,56 75,56 75,56 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-04 1 1 75,78 75,78 75,78 75,78 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-07 1 1 75,68 75,68 75,68 75,68 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-08 1 1 75,66 75,66 75,66 75,66 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-09 1 1 75,23 75,23 75,23 75,23 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-10 1 1 74,83 74,83 74,83 74,83 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-11 1 1 74,98 74,98 74,98 74,98 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-14 1 1 74,86 74,86 74,86 74,86 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-15 1 1 75,4 75,4 75,4 75,4 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-16 1 1 74,91 74,91 74,91 74,91 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-17 1 1 74,81 74,81 74,81 74,81 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-18 1 1 75,1 75,1 75,1 75,1 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-21 1 1 75,38 75,38 75,38 75,38 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-22 1 1 75,03 75,03 75,03 75,03 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-23 1 1 74,38 74,38 74,38 74,38 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-24 1 1 74,76 74,76 74,76 74,76 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-29 1 1 74,94 74,94 74,94 74,94 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-30 1 1 75,03 75,03 75,03 75,03 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-03-31 1 1 75,46 75,46 75,46 75,46 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-01 1 1 75,71 75,71 75,71 75,71 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-04 1 1 75,39 75,39 75,39 75,39 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-05 1 1 75,79 75,79 75,79 75,79 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-06 1 1 76,05 76,05 76,05 76,05 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-07 1 1 76,26 76,26 76,26 76,26 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-08 1 1 76,8 76,8 76,8 76,8 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-11 1 1 76,55 76,55 76,55 76,55 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-12 1 1 76,35 76,35 76,35 76,35 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-13 1 1 76,58 76,58 76,58 76,58 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-14 1 1 76,59 76,59 76,59 76,59 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-15 1 1 75,5 75,5 75,5 75,5 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-18 1 1 74,21 74,21 74,21 74,21 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-19 1 1 74,73 74,73 74,73 74,73 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-20 1 1 74,83 74,83 74,83 74,83 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-21 1 1 74,68 74,68 74,68 74,68 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-22 1 1 75,02 75,02 75,02 75,02 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-25 1 1 74,86 74,86 74,86 74,86 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-26 1 1 74,53 74,53 74,53 74,53 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-27 1 1 73,71 73,71 73,71 73,71 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-28 1 1 73,24 73,24 73,24 73,24 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-04-29 1 1 73,78 73,78 73,78 73,78 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-02 1 1 74,26 74,26 74,26 74,26 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-03 1 1 74,5 74,5 74,5 74,5 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-04 1 1 74,25 74,25 74,25 74,25 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-06 1 1 75,03 75,03 75,03 75,03 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-09 1 1 75,05 75,05 75,05 75,05 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-10 1 1 74,9 74,9 74,9 74,9 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-11 1 1 75,19 75,19 75,19 75,19 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-12 1 1 75,44 75,44 75,44 75,44 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-13 1 1 75,06 75,06 75,06 75,06 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-16 1 1 74,97 74,97 74,97 74,97 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-17 1 1 75,03 75,03 75,03 75,03 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-18 1 1 75,64 75,64 75,64 75,64 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-19 1 1 76,13 76,13 76,13 76,13 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-20 1 1 76,13 76,13 76,13 76,13 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-23 1 1 76,43 76,43 76,43 76,43 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-24 1 1 76,37 76,37 76,37 76,37 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-25 1 1 76,41 76,41 76,41 76,41 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-26 1 1 77,08 77,08 77,08 77,08 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-27 1 1 77,02 77,02 77,02 77,02 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-30 1 1 77,25 77,25 77,25 77,25 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-05-31 1 1 77,44 77,44 77,44 77,44 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-01 1 1 77,55 77,55 77,55 77,55 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-02 1 1 78,01 78,01 78,01 78,01 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-03 1 1 78,02 78,02 78,02 78,02 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-07 1 1 77,2 77,2 77,2 77,2 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-08 1 1 77,95 77,95 77,95 77,95 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-09 1 1 77,94 77,94 77,94 77,94 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-10 1 1 78,84 78,84 78,84 78,84 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-13 1 1 78,91 78,91 78,91 78,91 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-14 1 1 79,16 79,16 79,16 79,16 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-15 1 1 79,41 79,41 79,41 79,41 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-16 1 1 79,22 79,22 79,22 79,22 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-17 1 1 79,53 79,53 79,53 79,53 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-20 1 1 79,13 79,13 79,13 79,13 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-21 1 1 79,73 79,73 79,73 79,73 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-22 1 1 80,23 80,23 80,23 80,23 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-23 1 1 80,9 80,9 80,9 80,9 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-27 1 1 79,79 79,79 79,79 79,79 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-28 1 1 80,35 80,35 80,35 80,35 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-29 1 1 81,14 81,14 81,14 81,14 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-06-30 1 1 81,34 81,34 81,34 81,34 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-01 1 1 81,65 81,65 81,65 81,65 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-04 1 1 82 82 82 82 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-05 1 1 81,43 81,43 81,43 81,43 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-06 1 1 81,66 81,66 81,66 81,66 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-07 1 1 80,42 80,42 80,42 80,42 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-08 1 1 81,66 81,66 81,66 81,66 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-11 1 1 82,82 82,82 82,82 82,82 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-12 1 1 82,57 82,57 82,57 82,57 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-13 1 1 82,41 82,41 82,41 82,41 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-14 1 1 83,11 83,11 83,11 83,11 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-15 1 1 82,91 82,91 82,91 82,91 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-18 1 1 82,57 82,57 82,57 82,57 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-19 1 1 83,01 83,01 83,01 83,01 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-20 1 1 82,89 82,89 82,89 82,89 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-21 1 1 83,4 83,4 83,4 83,4 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-22 1 1 83,22 83,22 83,22 83,22 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-25 1 1 83,54 83,54 83,54 83,54 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-26 1 1 84,21 84,21 84,21 84,21 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-27 1 1 84,26 84,26 84,26 84,26 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-28 1 1 84,37 84,37 84,37 84,37 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-07-29 1 1 84,61 84,61 84,61 84,61 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-01 1 1 84,28 84,28 84,28 84,28 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-02 1 1 84,46 84,46 84,46 84,46 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-03 1 1 84,68 84,68 84,68 84,68 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-04 1 1 83,81 83,81 83,81 83,81 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-05 1 1 83,64 83,64 83,64 83,64 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-08 1 1 83,99 83,99 83,99 83,99 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-09 1 1 84,38 84,38 84,38 84,38 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-10 1 1 84,87 84,87 84,87 84,87 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-11 1 1 84,46 84,46 84,46 84,46 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-12 1 1 84,3 84,3 84,3 84,3 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-15 1 1 84,45 84,45 84,45 84,45 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-16 1 1 84,38 84,38 84,38 84,38 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-17 1 1 83,44 83,44 83,44 83,44 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-18 1 1 83,48 83,48 83,48 83,48 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-19 1 1 84,03 84,03 84,03 84,03 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-22 1 1 84,03 84,03 84,03 84,03 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-23 1 1 84,24 84,24 84,24 84,24 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-24 1 1 83,21 83,21 83,21 83,21 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-25 1 1 82,92 82,92 82,92 82,92 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-26 1 1 82,63 82,63 82,63 82,63 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-29 1 1 82,19 82,19 82,19 82,19 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-30 1 1 82,74 82,74 82,74 82,74 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-08-31 1 1 83,36 83,36 83,36 83,36 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-01 1 1 84,32 84,32 84,32 84,32 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-02 1 1 83,75 83,75 83,75 83,75 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-05 1 1 84,31 84,31 84,31 84,31 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-06 1 1 84,8 84,8 84,8 84,8 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-07 1 1 85,3 85,3 85,3 85,3 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-08 1 1 85,26 85,26 85,26 85,26 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-09 1 1 85,63 85,63 85,63 85,63 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-12 1 1 85,53 85,53 85,53 85,53 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-13 1 1 85,36 85,36 85,36 85,36 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-14 1 1 85,76 85,76 85,76 85,76 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-15 1 1 85,92 85,92 85,92 85,92 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-16 1 1 86,39 86,39 86,39 86,39 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-19 1 1 86,66 86,66 86,66 86,66 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-20 1 1 86,54 86,54 86,54 86,54 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-21 1 1 85,83 85,83 85,83 85,83 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-22 1 1 85,57 85,57 85,57 85,57 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-23 1 1 86,11 86,11 86,11 86,11 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-26 1 1 86,64 86,64 86,64 86,64 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-27 1 1 86,72 86,72 86,72 86,72 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-28 1 1 87,33 87,33 87,33 87,33 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-29 1 1 87,41 87,41 87,41 87,41 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-09-30 1 1 87,13 87,13 87,13 87,13 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-03 1 1 87,7 87,7 87,7 87,7 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-04 1 1 88,01 88,01 88,01 88,01 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-05 1 1 87,7 87,7 87,7 87,7 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-06 1 1 86,29 86,29 86,29 86,29 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-07 1 1 86,13 86,13 86,13 86,13 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-10 1 1 86,85 86,85 86,85 86,85 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-11 1 1 86,81 86,81 86,81 86,81 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-12 1 1 86,42 86,42 86,42 86,42 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-13 1 1 85,14 85,14 85,14 85,14 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-14 1 1 85,92 85,92 85,92 85,92 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-17 1 1 86,23 86,23 86,23 86,23 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-18 1 1 86,01 86,01 86,01 86,01 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-19 1 1 84,32 84,32 84,32 84,32 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-20 1 1 84,98 84,98 84,98 84,98 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-21 1 1 84,11 84,11 84,11 84,11 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-24 1 1 85,23 85,23 85,23 85,23 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-25 1 1 85,27 85,27 85,27 85,27 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-26 1 1 85,48 85,48 85,48 85,48 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-27 1 1 84,92 84,92 84,92 84,92 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-28 1 1 84,66 84,66 84,66 84,66 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-10-31 1 1 86,15 86,15 86,15 86,15 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-01 1 1 87,4 87,4 87,4 87,4 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-02 1 1 87,46 87,46 87,46 87,46 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-03 1 1 89,1 89,1 89,1 89,1 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-04 1 1 89,19 89,19 89,19 89,19 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-07 1 1 89,58 89,58 89,58 89,58 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-08 1 1 89,05 89,05 89,05 89,05 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-09 1 1 89,03 89,03 89,03 89,03 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-10 1 1 89,72 89,72 89,72 89,72 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-11 1 1 89,62 89,62 89,62 89,62 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-14 1 1 89,88 89,88 89,88 89,88 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-15 1 1 89,84 89,84 89,84 89,84 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-16 1 1 88,95 88,95 88,95 88,95 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-17 1 1 89,74 89,74 89,74 89,74 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-18 1 1 89,85 89,85 89,85 89,85 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-21 1 1 89,5 89,5 89,5 89,5 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-22 1 1 89,79 89,79 89,79 89,79 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-23 1 1 89,81 89,81 89,81 89,81 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-24 1 1 89,47 89,47 89,47 89,47 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-25 1 1 89,41 89,41 89,41 89,41 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-28 1 1 89,62 89,62 89,62 89,62 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-29 1 1 89,44 89,44 89,44 89,44 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-11-30 1 1 89,26 89,26 89,26 89,26 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-01 1 1 90,02 90,02 90,02 90,02 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-02 1 1 90,36 90,36 90,36 90,36 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-05 1 1 90,67 90,67 90,67 90,67 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-06 1 1 90,58 90,58 90,58 90,58 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-07 1 1 90,79 90,79 90,79 90,79 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-08 1 1 90,4 90,4 90,4 90,4 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-12 1 1 90,69 90,69 90,69 90,69 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-13 1 1 90,91 90,91 90,91 90,91 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-14 1 1 90,8 90,8 90,8 90,8 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-15 1 1 90,34 90,34 90,34 90,34 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-16 1 1 91,08 91,08 91,08 91,08 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-19 1 1 90,61 90,61 90,61 90,61 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-20 1 1 90,7 90,7 90,7 90,7 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-21 1 1 91,54 91,54 91,54 91,54 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-22 1 1 91,49 91,49 91,49 91,49 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-23 1 1 91,98 91,98 91,98 91,98 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-27 1 1 92,3 92,3 92,3 92,3 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-28 1 1 91,92 91,92 91,92 91,92 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-29 1 1 92,02 92,02 92,02 92,02 144923 Danske Capital Sverige AB Danske Fonder Utland SEK 2005-12-30 1 1 91,61 91,61 91,61 91,61 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-13 1 1 312,44 312,44 312,44 312,44 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-14 1 1 314,07 314,07 314,07 314,07 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-17 1 1 316,05 316,05 316,05 316,05 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-18 1 1 317,65 317,65 317,65 317,65 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-19 1 1 313,77 313,77 313,77 313,77 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-20 1 1 312,26 312,26 312,26 312,26 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-21 1 1 312 312 312 312 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-24 1 1 312,67 312,67 312,67 312,67 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-25 1 1 313,92 313,92 313,92 313,92 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-26 1 1 317,79 317,79 317,79 317,79 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-27 1 1 317,5 317,5 317,5 317,5 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-28 1 1 319,57 319,57 319,57 319,57 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-01-31 1 1 324,02 324,02 324,02 324,02 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-01 1 1 324,31 324,31 324,31 324,31 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-02 1 1 325,87 325,87 325,87 325,87 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-03 1 1 325,74 325,74 325,74 325,74 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-04 1 1 329,53 329,53 329,53 329,53 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-07 1 1 333,8 333,8 333,8 333,8 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-08 1 1 337,33 337,33 337,33 337,33 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-09 1 1 335,58 335,58 335,58 335,58 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-10 1 1 335,67 335,67 335,67 335,67 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-11 1 1 336,56 336,56 336,56 336,56 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-14 1 1 339 339 339 339 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-15 1 1 338,31 338,31 338,31 338,31 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-16 1 1 343,06 343,06 343,06 343,06 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-17 1 1 349,85 349,85 349,85 349,85 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-18 1 1 352,93 352,93 352,93 352,93 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-21 1 1 353,78 353,78 353,78 353,78 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-22 1 1 355,8 355,8 355,8 355,8 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-23 1 1 358,05 358,05 358,05 358,05 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-24 1 1 355,57 355,57 355,57 355,57 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-25 1 1 358,3 358,3 358,3 358,3 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-02-28 1 1 364,7 364,7 364,7 364,7 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-01 1 1 366,12 366,12 366,12 366,12 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-02 1 1 366,93 366,93 366,93 366,93 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-03 1 1 358,55 358,55 358,55 358,55 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-04 1 1 357,6 357,6 357,6 357,6 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-07 1 1 362 362 362 362 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-08 1 1 367,86 367,86 367,86 367,86 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-09 1 1 367,33 367,33 367,33 367,33 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-10 1 1 367,08 367,08 367,08 367,08 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-11 1 1 363,78 363,78 363,78 363,78 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-14 1 1 360,13 360,13 360,13 360,13 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-15 1 1 356,21 356,21 356,21 356,21 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-16 1 1 351,26 351,26 351,26 351,26 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-17 1 1 340,64 340,64 340,64 340,64 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-18 1 1 338,22 338,22 338,22 338,22 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-21 1 1 342,66 342,66 342,66 342,66 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-22 1 1 333,23 333,23 333,23 333,23 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-23 1 1 339,88 339,88 339,88 339,88 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-24 1 1 337,44 337,44 337,44 337,44 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-29 1 1 342,5 342,5 342,5 342,5 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-30 1 1 342,53 342,53 342,53 342,53 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-03-31 1 1 342,62 342,62 342,62 342,62 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-01 1 1 348,45 348,45 348,45 348,45 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-04 1 1 350,24 350,24 350,24 350,24 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-05 1 1 348,57 348,57 348,57 348,57 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-06 1 1 350,87 350,87 350,87 350,87 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-07 1 1 352,96 352,96 352,96 352,96 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-08 1 1 354,5 354,5 354,5 354,5 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-11 1 1 352,65 352,65 352,65 352,65 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-12 1 1 352,18 352,18 352,18 352,18 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-13 1 1 352,15 352,15 352,15 352,15 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-14 1 1 355,91 355,91 355,91 355,91 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-15 1 1 351,69 351,69 351,69 351,69 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-18 1 1 346,13 346,13 346,13 346,13 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-19 1 1 339,31 339,31 339,31 339,31 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-20 1 1 337,92 337,92 337,92 337,92 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-21 1 1 336,75 336,75 336,75 336,75 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-22 1 1 336,13 336,13 336,13 336,13 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-25 1 1 339,55 339,55 339,55 339,55 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-26 1 1 340,12 340,12 340,12 340,12 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-27 1 1 337,98 337,98 337,98 337,98 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-28 1 1 333,7 333,7 333,7 333,7 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-04-29 1 1 326,43 326,43 326,43 326,43 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-02 1 1 328,36 328,36 328,36 328,36 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-03 1 1 331,56 331,56 331,56 331,56 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-04 1 1 330,11 330,11 330,11 330,11 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-06 1 1 333,15 333,15 333,15 333,15 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-09 1 1 335,02 335,02 335,02 335,02 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-10 1 1 335,83 335,83 335,83 335,83 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-11 1 1 328,86 328,86 328,86 328,86 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-12 1 1 330,37 330,37 330,37 330,37 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-13 1 1 328,11 328,11 328,11 328,11 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-17 1 1 322,19 322,19 322,19 322,19 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-18 1 1 323,28 323,28 323,28 323,28 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-19 1 1 329,45 329,45 329,45 329,45 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-20 1 1 333,72 333,72 333,72 333,72 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-23 1 1 333,94 333,94 333,94 333,94 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-24 1 1 332,77 332,77 332,77 332,77 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-25 1 1 331,57 331,57 331,57 331,57 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-26 1 1 330,13 330,13 330,13 330,13 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-27 1 1 331,97 331,97 331,97 331,97 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-30 1 1 336,1 336,1 336,1 336,1 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-05-31 1 1 338,32 338,32 338,32 338,32 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-01 1 1 338,21 338,21 338,21 338,21 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-02 1 1 339,68 339,68 339,68 339,68 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-03 1 1 351,05 351,05 351,05 351,05 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-07 1 1 351,05 351,05 351,05 351,05 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-08 1 1 352,43 352,43 352,43 352,43 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-09 1 1 355,48 355,48 355,48 355,48 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-10 1 1 356,52 356,52 356,52 356,52 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-13 1 1 362,27 362,27 362,27 362,27 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-14 1 1 364,77 364,77 364,77 364,77 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-15 1 1 362,98 362,98 362,98 362,98 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-16 1 1 366,65 366,65 366,65 366,65 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-17 1 1 367,5 367,5 367,5 367,5 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-20 1 1 365,9 365,9 365,9 365,9 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-21 1 1 369,29 369,29 369,29 369,29 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-22 1 1 368,8 368,8 368,8 368,8 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-27 1 1 375,55 375,55 375,55 375,55 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-28 1 1 372,16 372,16 372,16 372,16 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-29 1 1 376,35 376,35 376,35 376,35 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-06-30 1 1 378,81 378,81 378,81 378,81 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-01 1 1 381 381 381 381 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-04 1 1 386,72 386,72 386,72 386,72 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-05 1 1 388,04 388,04 388,04 388,04 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-06 1 1 385,03 385,03 385,03 385,03 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-07 1 1 383,11 383,11 383,11 383,11 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-08 1 1 381,64 381,64 381,64 381,64 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-11 1 1 385,1 385,1 385,1 385,1 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-12 1 1 382,18 382,18 382,18 382,18 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-13 1 1 386,47 386,47 386,47 386,47 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-14 1 1 386,41 386,41 386,41 386,41 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-15 1 1 388,58 388,58 388,58 388,58 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-18 1 1 388,24 388,24 388,24 388,24 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-19 1 1 389,59 389,59 389,59 389,59 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-20 1 1 390,64 390,64 390,64 390,64 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-21 1 1 394,95 394,95 394,95 394,95 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-22 1 1 393,22 393,22 393,22 393,22 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-25 1 1 392,79 392,79 392,79 392,79 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-26 1 1 393,24 393,24 393,24 393,24 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-27 1 1 397,78 397,78 397,78 397,78 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-28 1 1 401,2 401,2 401,2 401,2 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-07-29 1 1 403,82 403,82 403,82 403,82 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-01 1 1 404,53 404,53 404,53 404,53 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-02 1 1 408,49 408,49 408,49 408,49 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-03 1 1 413,2 413,2 413,2 413,2 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-04 1 1 408,49 408,49 408,49 408,49 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-05 1 1 408,92 408,92 408,92 408,92 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-08 1 1 408,18 408,18 408,18 408,18 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-09 1 1 412,87 412,87 412,87 412,87 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-10 1 1 413,13 413,13 413,13 413,13 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-11 1 1 413,5 413,5 413,5 413,5 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-12 1 1 407,99 407,99 407,99 407,99 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-16 1 1 404,68 404,68 404,68 404,68 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-17 1 1 411,08 411,08 411,08 411,08 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-18 1 1 410,08 410,08 410,08 410,08 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-19 1 1 410,29 410,29 410,29 410,29 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-22 1 1 409,15 409,15 409,15 409,15 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-23 1 1 411,81 411,81 411,81 411,81 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-24 1 1 411,62 411,62 411,62 411,62 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-25 1 1 410,11 410,11 410,11 410,11 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-26 1 1 410,32 410,32 410,32 410,32 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-29 1 1 413,34 413,34 413,34 413,34 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-30 1 1 415,03 415,03 415,03 415,03 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-08-31 1 1 420,56 420,56 420,56 420,56 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-01 1 1 423,88 423,88 423,88 423,88 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-02 1 1 430,85 430,85 430,85 430,85 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-05 1 1 436,66 436,66 436,66 436,66 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-06 1 1 433,46 433,46 433,46 433,46 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-07 1 1 433,76 433,76 433,76 433,76 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-08 1 1 433,25 433,25 433,25 433,25 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-09 1 1 435,44 435,44 435,44 435,44 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-12 1 1 441,65 441,65 441,65 441,65 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-13 1 1 445,32 445,32 445,32 445,32 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-14 1 1 443,76 443,76 443,76 443,76 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-15 1 1 446,69 446,69 446,69 446,69 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-16 1 1 453,59 453,59 453,59 453,59 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-19 1 1 460,36 460,36 460,36 460,36 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-20 1 1 462,88 462,88 462,88 462,88 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-21 1 1 460,92 460,92 460,92 460,92 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-22 1 1 460,93 460,93 460,93 460,93 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-23 1 1 463,56 463,56 463,56 463,56 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-26 1 1 460,56 460,56 460,56 460,56 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-27 1 1 465,35 465,35 465,35 465,35 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-28 1 1 472,69 472,69 472,69 472,69 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-29 1 1 470,25 470,25 470,25 470,25 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-09-30 1 1 466,96 466,96 466,96 466,96 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-03 1 1 466,97 466,97 466,97 466,97 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-04 1 1 475,8 475,8 475,8 475,8 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-05 1 1 476,7 476,7 476,7 476,7 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-06 1 1 467,98 467,98 467,98 467,98 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-07 1 1 453,97 453,97 453,97 453,97 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-10 1 1 457,15 457,15 457,15 457,15 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-11 1 1 458,21 458,21 458,21 458,21 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-12 1 1 460,52 460,52 460,52 460,52 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-13 1 1 458,22 458,22 458,22 458,22 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-14 1 1 438,25 438,25 438,25 438,25 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-17 1 1 437,82 437,82 437,82 437,82 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-18 1 1 445,1 445,1 445,1 445,1 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-19 1 1 437,22 437,22 437,22 437,22 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-20 1 1 433,21 433,21 433,21 433,21 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-21 1 1 432,91 432,91 432,91 432,91 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-24 1 1 434,75 434,75 434,75 434,75 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-25 1 1 440,39 440,39 440,39 440,39 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-26 1 1 441,5 441,5 441,5 441,5 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-27 1 1 440,12 440,12 440,12 440,12 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-28 1 1 432,36 432,36 432,36 432,36 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-10-31 1 1 437,7 437,7 437,7 437,7 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-02 1 1 453,13 453,13 453,13 453,13 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-03 1 1 458,44 458,44 458,44 458,44 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-04 1 1 463,33 463,33 463,33 463,33 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-07 1 1 464,33 464,33 464,33 464,33 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-08 1 1 464,39 464,39 464,39 464,39 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-09 1 1 458,7 458,7 458,7 458,7 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-10 1 1 460,91 460,91 460,91 460,91 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-11 1 1 463,5 463,5 463,5 463,5 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-14 1 1 454,75 454,75 454,75 454,75 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-15 1 1 455,36 455,36 455,36 455,36 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-16 1 1 456,08 456,08 456,08 456,08 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-17 1 1 461,36 461,36 461,36 461,36 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-18 1 1 462,6 462,6 462,6 462,6 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-21 1 1 459,5 459,5 459,5 459,5 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-22 1 1 456,46 456,46 456,46 456,46 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-23 1 1 453,2 453,2 453,2 453,2 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-24 1 1 458,98 458,98 458,98 458,98 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-25 1 1 462,25 462,25 462,25 462,25 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-28 1 1 464,16 464,16 464,16 464,16 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-29 1 1 464,37 464,37 464,37 464,37 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-11-30 1 1 466,71 466,71 466,71 466,71 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-01 1 1 465,85 465,85 465,85 465,85 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-02 1 1 471,82 471,82 471,82 471,82 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-05 1 1 470,32 470,32 470,32 470,32 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-06 1 1 472,43 472,43 472,43 472,43 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-07 1 1 466,38 466,38 466,38 466,38 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-08 1 1 464,11 464,11 464,11 464,11 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-12 1 1 464,38 464,38 464,38 464,38 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-13 1 1 471,79 471,79 471,79 471,79 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-14 1 1 469,33 469,33 469,33 469,33 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-15 1 1 471,29 471,29 471,29 471,29 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-16 1 1 470,27 470,27 470,27 470,27 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-19 1 1 471,03 471,03 471,03 471,03 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-20 1 1 470,54 470,54 470,54 470,54 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-21 1 1 474,27 474,27 474,27 474,27 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-22 1 1 478,02 478,02 478,02 478,02 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-23 1 1 477,54 477,54 477,54 477,54 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-27 1 1 481,61 481,61 481,61 481,61 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-28 1 1 481,59 481,59 481,59 481,59 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-29 1 1 479,62 479,62 479,62 479,62 539585 Danske Fund Management Company S.A. Danske Fund Eastern Europe Convergence SEK 2005-12-30 1 1 480,96 480,96 480,96 480,96 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-13 1 1 168,34 168,34 168,34 168,34 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-14 1 1 170,03 170,03 170,03 170,03 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-17 1 1 171,41 171,41 171,41 171,41 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-18 1 1 172,97 172,97 172,97 172,97 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-19 1 1 171,63 171,63 171,63 171,63 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-20 1 1 172,38 172,38 172,38 172,38 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-21 1 1 171,42 171,42 171,42 171,42 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-24 1 1 171,15 171,15 171,15 171,15 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-25 1 1 172,03 172,03 172,03 172,03 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-26 1 1 172,98 172,98 172,98 172,98 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-27 1 1 171,45 171,45 171,45 171,45 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-28 1 1 174,58 174,58 174,58 174,58 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-01-31 1 1 175,54 175,54 175,54 175,54 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-01 1 1 176,24 176,24 176,24 176,24 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-02 1 1 176,49 176,49 176,49 176,49 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-03 1 1 178,06 178,06 178,06 178,06 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-04 1 1 180,55 180,55 180,55 180,55 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-07 1 1 183,4 183,4 183,4 183,4 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-08 1 1 184,77 184,77 184,77 184,77 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-09 1 1 184,21 184,21 184,21 184,21 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-10 1 1 183,53 183,53 183,53 183,53 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-11 1 1 182,99 182,99 182,99 182,99 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-14 1 1 184,48 184,48 184,48 184,48 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-15 1 1 184,23 184,23 184,23 184,23 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-16 1 1 183,32 183,32 183,32 183,32 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-17 1 1 182,28 182,28 182,28 182,28 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-18 1 1 183,11 183,11 183,11 183,11 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-21 1 1 183,93 183,93 183,93 183,93 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-22 1 1 182,64 182,64 182,64 182,64 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-23 1 1 182,37 182,37 182,37 182,37 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-24 1 1 183,29 183,29 183,29 183,29 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-25 1 1 185,29 185,29 185,29 185,29 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-02-28 1 1 185,61 185,61 185,61 185,61 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-01 1 1 186,72 186,72 186,72 186,72 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-02 1 1 185,41 185,41 185,41 185,41 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-03 1 1 185,54 185,54 185,54 185,54 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-04 1 1 184,85 184,85 184,85 184,85 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-07 1 1 184,51 184,51 184,51 184,51 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-08 1 1 184,24 184,24 184,24 184,24 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-09 1 1 182,77 182,77 182,77 182,77 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-10 1 1 181,45 181,45 181,45 181,45 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-11 1 1 181,13 181,13 181,13 181,13 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-14 1 1 180,25 180,25 180,25 180,25 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-15 1 1 179,15 179,15 179,15 179,15 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-16 1 1 177,96 177,96 177,96 177,96 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-17 1 1 176,76 176,76 176,76 176,76 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-18 1 1 177,69 177,69 177,69 177,69 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-21 1 1 178,78 178,78 178,78 178,78 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-22 1 1 177,7 177,7 177,7 177,7 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-23 1 1 177,29 177,29 177,29 177,29 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-24 1 1 176,23 176,23 176,23 176,23 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-29 1 1 177,03 177,03 177,03 177,03 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-30 1 1 175,53 175,53 175,53 175,53 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-03-31 1 1 178,07 178,07 178,07 178,07 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-01 1 1 180,47 180,47 180,47 180,47 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-04 1 1 182,98 182,98 182,98 182,98 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-05 1 1 183,19 183,19 183,19 183,19 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-06 1 1 183,42 183,42 183,42 183,42 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-07 1 1 182,73 182,73 182,73 182,73 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-08 1 1 184,84 184,84 184,84 184,84 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-11 1 1 182,91 182,91 182,91 182,91 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-12 1 1 181,37 181,37 181,37 181,37 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-13 1 1 182,26 182,26 182,26 182,26 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-14 1 1 182,27 182,27 182,27 182,27 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-15 1 1 180,36 180,36 180,36 180,36 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-18 1 1 175,48 175,48 175,48 175,48 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-19 1 1 175,35 175,35 175,35 175,35 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-20 1 1 176,7 176,7 176,7 176,7 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-21 1 1 175,54 175,54 175,54 175,54 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-22 1 1 176,68 176,68 176,68 176,68 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-25 1 1 176,89 176,89 176,89 176,89 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-26 1 1 178,4 178,4 178,4 178,4 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-27 1 1 178,9 178,9 178,9 178,9 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-28 1 1 177,92 177,92 177,92 177,92 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-04-29 1 1 175,89 175,89 175,89 175,89 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-02 1 1 178,42 178,42 178,42 178,42 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-03 1 1 180,07 180,07 180,07 180,07 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-04 1 1 179,64 179,64 179,64 179,64 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-06 1 1 182,14 182,14 182,14 182,14 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-09 1 1 185,02 185,02 185,02 185,02 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-10 1 1 185,22 185,22 185,22 185,22 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-11 1 1 182,79 182,79 182,79 182,79 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-12 1 1 184,87 184,87 184,87 184,87 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-13 1 1 184,06 184,06 184,06 184,06 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-17 1 1 185,45 185,45 185,45 185,45 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-18 1 1 184,82 184,82 184,82 184,82 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-19 1 1 186,22 186,22 186,22 186,22 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-20 1 1 186,78 186,78 186,78 186,78 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-23 1 1 187,08 187,08 187,08 187,08 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-24 1 1 186,81 186,81 186,81 186,81 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-25 1 1 186,29 186,29 186,29 186,29 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-26 1 1 187,94 187,94 187,94 187,94 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-27 1 1 189,55 189,55 189,55 189,55 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-30 1 1 191,02 191,02 191,02 191,02 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-05-31 1 1 192,52 192,52 192,52 192,52 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-01 1 1 192,55 192,55 192,55 192,55 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-02 1 1 194,23 194,23 194,23 194,23 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-03 1 1 195,09 195,09 195,09 195,09 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-07 1 1 195,09 195,09 195,09 195,09 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-08 1 1 194,6 194,6 194,6 194,6 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-09 1 1 196,21 196,21 196,21 196,21 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-10 1 1 196,69 196,69 196,69 196,69 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-13 1 1 199,98 199,98 199,98 199,98 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-14 1 1 200,59 200,59 200,59 200,59 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-15 1 1 203,29 203,29 203,29 203,29 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-16 1 1 204,05 204,05 204,05 204,05 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-17 1 1 205,31 205,31 205,31 205,31 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-20 1 1 202,72 202,72 202,72 202,72 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-21 1 1 204,54 204,54 204,54 204,54 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-22 1 1 205,25 205,25 205,25 205,25 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-27 1 1 207,27 207,27 207,27 207,27 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-28 1 1 208,5 208,5 208,5 208,5 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-29 1 1 211,43 211,43 211,43 211,43 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-06-30 1 1 211,21 211,21 211,21 211,21 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-01 1 1 211,91 211,91 211,91 211,91 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-04 1 1 214,46 214,46 214,46 214,46 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-05 1 1 215,19 215,19 215,19 215,19 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-06 1 1 213,57 213,57 213,57 213,57 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-07 1 1 213,48 213,48 213,48 213,48 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-08 1 1 213,11 213,11 213,11 213,11 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-11 1 1 214,81 214,81 214,81 214,81 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-12 1 1 214,2 214,2 214,2 214,2 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-13 1 1 214,28 214,28 214,28 214,28 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-14 1 1 215,79 215,79 215,79 215,79 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-15 1 1 215,64 215,64 215,64 215,64 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-18 1 1 216,1 216,1 216,1 216,1 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-19 1 1 219,16 219,16 219,16 219,16 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-20 1 1 218,65 218,65 218,65 218,65 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-21 1 1 219,74 219,74 219,74 219,74 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-22 1 1 220,26 220,26 220,26 220,26 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-25 1 1 221,64 221,64 221,64 221,64 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-26 1 1 219,3 219,3 219,3 219,3 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-27 1 1 222,37 222,37 222,37 222,37 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-28 1 1 223,19 223,19 223,19 223,19 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-07-29 1 1 223,05 223,05 223,05 223,05 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-01 1 1 222,11 222,11 222,11 222,11 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-02 1 1 224,97 224,97 224,97 224,97 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-03 1 1 226,72 226,72 226,72 226,72 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-04 1 1 224,63 224,63 224,63 224,63 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-05 1 1 221,9 221,9 221,9 221,9 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-08 1 1 221 221 221 221 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-09 1 1 220,67 220,67 220,67 220,67 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-10 1 1 222,85 222,85 222,85 222,85 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-11 1 1 224,32 224,32 224,32 224,32 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-12 1 1 221,19 221,19 221,19 221,19 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-16 1 1 221,19 221,19 221,19 221,19 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-17 1 1 222,92 222,92 222,92 222,92 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-18 1 1 221,8 221,8 221,8 221,8 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-19 1 1 222,6 222,6 222,6 222,6 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-22 1 1 224,67 224,67 224,67 224,67 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-23 1 1 226 226 226 226 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-24 1 1 219,43 219,43 219,43 219,43 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-25 1 1 220,57 220,57 220,57 220,57 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-26 1 1 222,42 222,42 222,42 222,42 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-29 1 1 219,87 219,87 219,87 219,87 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-30 1 1 222,43 222,43 222,43 222,43 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-08-31 1 1 223,47 223,47 223,47 223,47 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-01 1 1 223,72 223,72 223,72 223,72 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-02 1 1 221,73 221,73 221,73 221,73 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-05 1 1 221,57 221,57 221,57 221,57 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-06 1 1 223,61 223,61 223,61 223,61 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-07 1 1 224,86 224,86 224,86 224,86 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-08 1 1 227,13 227,13 227,13 227,13 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-09 1 1 228,1 228,1 228,1 228,1 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-12 1 1 230,42 230,42 230,42 230,42 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-13 1 1 231,98 231,98 231,98 231,98 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-14 1 1 233,03 233,03 233,03 233,03 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-15 1 1 234,86 234,86 234,86 234,86 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-16 1 1 234,57 234,57 234,57 234,57 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-19 1 1 238,42 238,42 238,42 238,42 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-20 1 1 241,07 241,07 241,07 241,07 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-21 1 1 241,77 241,77 241,77 241,77 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-22 1 1 241,18 241,18 241,18 241,18 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-23 1 1 240,83 240,83 240,83 240,83 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-26 1 1 244,14 244,14 244,14 244,14 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-27 1 1 246,53 246,53 246,53 246,53 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-28 1 1 247,3 247,3 247,3 247,3 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-29 1 1 248,67 248,67 248,67 248,67 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-09-30 1 1 248,67 248,67 248,67 248,67 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-03 1 1 249,39 249,39 249,39 249,39 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-04 1 1 253,67 253,67 253,67 253,67 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-05 1 1 251,45 251,45 251,45 251,45 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-06 1 1 243,9 243,9 243,9 243,9 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-07 1 1 238,52 238,52 238,52 238,52 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-10 1 1 240,75 240,75 240,75 240,75 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-11 1 1 242,12 242,12 242,12 242,12 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-12 1 1 243,82 243,82 243,82 243,82 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-13 1 1 240,25 240,25 240,25 240,25 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-14 1 1 236,65 236,65 236,65 236,65 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-17 1 1 236,45 236,45 236,45 236,45 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-18 1 1 239,54 239,54 239,54 239,54 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-19 1 1 236,26 236,26 236,26 236,26 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-20 1 1 235,6 235,6 235,6 235,6 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-21 1 1 232,58 232,58 232,58 232,58 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-24 1 1 237,48 237,48 237,48 237,48 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-25 1 1 241,07 241,07 241,07 241,07 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-26 1 1 236,47 236,47 236,47 236,47 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-27 1 1 236,38 236,38 236,38 236,38 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-28 1 1 232,09 232,09 232,09 232,09 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-10-31 1 1 237,35 237,35 237,35 237,35 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-02 1 1 244,9 244,9 244,9 244,9 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-03 1 1 248,06 248,06 248,06 248,06 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-04 1 1 250,01 250,01 250,01 250,01 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-07 1 1 252,62 252,62 252,62 252,62 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-08 1 1 253,87 253,87 253,87 253,87 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-09 1 1 254,17 254,17 254,17 254,17 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-10 1 1 256,77 256,77 256,77 256,77 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-11 1 1 260,2 260,2 260,2 260,2 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-14 1 1 257,05 257,05 257,05 257,05 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-15 1 1 258,13 258,13 258,13 258,13 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-16 1 1 258,7 258,7 258,7 258,7 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-17 1 1 262,22 262,22 262,22 262,22 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-18 1 1 262,9 262,9 262,9 262,9 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-21 1 1 260,34 260,34 260,34 260,34 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-22 1 1 259,6 259,6 259,6 259,6 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-23 1 1 259,3 259,3 259,3 259,3 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-24 1 1 261,04 261,04 261,04 261,04 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-25 1 1 261,66 261,66 261,66 261,66 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-28 1 1 263,3 263,3 263,3 263,3 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-29 1 1 259,22 259,22 259,22 259,22 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-11-30 1 1 262,55 262,55 262,55 262,55 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-01 1 1 262,34 262,34 262,34 262,34 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-02 1 1 267,28 267,28 267,28 267,28 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-05 1 1 266,72 266,72 266,72 266,72 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-06 1 1 266,28 266,28 266,28 266,28 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-07 1 1 267,21 267,21 267,21 267,21 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-08 1 1 264,74 264,74 264,74 264,74 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-12 1 1 264,35 264,35 264,35 264,35 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-13 1 1 263,87 263,87 263,87 263,87 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-14 1 1 262,92 262,92 262,92 262,92 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-15 1 1 262,64 262,64 262,64 262,64 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-16 1 1 262,88 262,88 262,88 262,88 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-19 1 1 263,2 263,2 263,2 263,2 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-20 1 1 260,73 260,73 260,73 260,73 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-21 1 1 265,44 265,44 265,44 265,44 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-22 1 1 268,72 268,72 268,72 268,72 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-23 1 1 267,44 267,44 267,44 267,44 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-27 1 1 269,59 269,59 269,59 269,59 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-28 1 1 265,98 265,98 265,98 265,98 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-29 1 1 266,57 266,57 266,57 266,57 503755 Danske Fund Management Company S.A. Danske Fund Global Emerging Markets SEK 2005-12-30 1 1 268,55 268,55 268,55 268,55 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-13 1 1 113,91 113,91 113,91 113,91 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-14 1 1 113,29 113,29 113,29 113,29 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-17 1 1 114,16 114,16 114,16 114,16 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-18 1 1 114,34 114,34 114,34 114,34 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-19 1 1 114,61 114,61 114,61 114,61 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-20 1 1 114,21 114,21 114,21 114,21 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-21 1 1 114,31 114,31 114,31 114,31 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-24 1 1 113,36 113,36 113,36 113,36 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-25 1 1 113,21 113,21 113,21 113,21 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-26 1 1 114,15 114,15 114,15 114,15 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-27 1 1 113,55 113,55 113,55 113,55 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-28 1 1 114,16 114,16 114,16 114,16 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-01-31 1 1 114,39 114,39 114,39 114,39 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-01 1 1 114,69 114,69 114,69 114,69 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-02 1 1 114,77 114,77 114,77 114,77 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-03 1 1 114,74 114,74 114,74 114,74 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-04 1 1 115,18 115,18 115,18 115,18 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-07 1 1 116,91 116,91 116,91 116,91 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-08 1 1 117,22 117,22 117,22 117,22 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-09 1 1 117,09 117,09 117,09 117,09 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-10 1 1 116,98 116,98 116,98 116,98 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-11 1 1 117,76 117,76 117,76 117,76 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-14 1 1 118,2 118,2 118,2 118,2 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-15 1 1 117,53 117,53 117,53 117,53 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-16 1 1 117,22 117,22 117,22 117,22 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-17 1 1 116,71 116,71 116,71 116,71 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-18 1 1 116,36 116,36 116,36 116,36 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-21 1 1 118,37 118,37 118,37 118,37 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-22 1 1 117,7 117,7 117,7 117,7 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-23 1 1 116,24 116,24 116,24 116,24 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-24 1 1 116,04 116,04 116,04 116,04 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-25 1 1 116,84 116,84 116,84 116,84 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-02-28 1 1 117,06 117,06 117,06 117,06 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-01 1 1 115,67 115,67 115,67 115,67 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-02 1 1 117,05 117,05 117,05 117,05 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-03 1 1 117,46 117,46 117,46 117,46 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-04 1 1 117,27 117,27 117,27 117,27 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-07 1 1 116,72 116,72 116,72 116,72 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-08 1 1 116,69 116,69 116,69 116,69 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-09 1 1 115,44 115,44 115,44 115,44 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-10 1 1 114,51 114,51 114,51 114,51 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-11 1 1 115,03 115,03 115,03 115,03 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-14 1 1 114,24 114,24 114,24 114,24 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-15 1 1 115,65 115,65 115,65 115,65 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-16 1 1 115,3 115,3 115,3 115,3 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-17 1 1 114,52 114,52 114,52 114,52 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-18 1 1 114,55 114,55 114,55 114,55 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-21 1 1 114,91 114,91 114,91 114,91 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-22 1 1 115,18 115,18 115,18 115,18 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-23 1 1 114,95 114,95 114,95 114,95 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-24 1 1 115,61 115,61 115,61 115,61 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-29 1 1 116,37 116,37 116,37 116,37 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-30 1 1 116,03 116,03 116,03 116,03 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-03-31 1 1 116,68 116,68 116,68 116,68 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-01 1 1 116,46 116,46 116,46 116,46 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-04 1 1 116,08 116,08 116,08 116,08 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-05 1 1 116,9 116,9 116,9 116,9 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-06 1 1 118,65 118,65 118,65 118,65 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-07 1 1 118,73 118,73 118,73 118,73 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-08 1 1 120,26 120,26 120,26 120,26 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-11 1 1 119,11 119,11 119,11 119,11 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-12 1 1 118,4 118,4 118,4 118,4 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-13 1 1 119,57 119,57 119,57 119,57 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-14 1 1 120 120 120 120 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-15 1 1 120,99 120,99 120,99 120,99 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-18 1 1 119,81 119,81 119,81 119,81 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-19 1 1 120,06 120,06 120,06 120,06 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-20 1 1 120,12 120,12 120,12 120,12 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-21 1 1 118,86 118,86 118,86 118,86 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-22 1 1 119,9 119,9 119,9 119,9 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-25 1 1 119,46 119,46 119,46 119,46 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-26 1 1 119,66 119,66 119,66 119,66 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-27 1 1 119,91 119,91 119,91 119,91 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-28 1 1 120,44 120,44 120,44 120,44 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-04-29 1 1 120,15 120,15 120,15 120,15 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-02 1 1 121,93 121,93 121,93 121,93 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-03 1 1 122,48 122,48 122,48 122,48 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-04 1 1 122,36 122,36 122,36 122,36 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-06 1 1 122,46 122,46 122,46 122,46 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-09 1 1 122,96 122,96 122,96 122,96 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-10 1 1 123,35 123,35 123,35 123,35 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-11 1 1 122,24 122,24 122,24 122,24 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-12 1 1 123,45 123,45 123,45 123,45 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-13 1 1 123,55 123,55 123,55 123,55 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-17 1 1 124,7 124,7 124,7 124,7 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-18 1 1 124,53 124,53 124,53 124,53 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-19 1 1 124,45 124,45 124,45 124,45 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-20 1 1 124,31 124,31 124,31 124,31 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-23 1 1 124,36 124,36 124,36 124,36 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-24 1 1 124,81 124,81 124,81 124,81 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-25 1 1 125,33 125,33 125,33 125,33 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-26 1 1 125,83 125,83 125,83 125,83 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-27 1 1 126,4 126,4 126,4 126,4 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-30 1 1 126,14 126,14 126,14 126,14 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-05-31 1 1 126,71 126,71 126,71 126,71 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-01 1 1 126,67 126,67 126,67 126,67 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-02 1 1 128,2 128,2 128,2 128,2 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-03 1 1 126,87 126,87 126,87 126,87 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-07 1 1 126,87 126,87 126,87 126,87 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-08 1 1 126,61 126,61 126,61 126,61 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-09 1 1 127,07 127,07 127,07 127,07 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-10 1 1 127,83 127,83 127,83 127,83 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-13 1 1 128,81 128,81 128,81 128,81 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-14 1 1 129,46 129,46 129,46 129,46 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-15 1 1 130,47 130,47 130,47 130,47 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-16 1 1 129,87 129,87 129,87 129,87 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-17 1 1 129,7 129,7 129,7 129,7 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-20 1 1 128,67 128,67 128,67 128,67 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-21 1 1 129,9 129,9 129,9 129,9 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-22 1 1 130,2 130,2 130,2 130,2 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-27 1 1 130,42 130,42 130,42 130,42 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-28 1 1 130,65 130,65 130,65 130,65 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-29 1 1 132,59 132,59 132,59 132,59 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-06-30 1 1 132,64 132,64 132,64 132,64 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-01 1 1 131,92 131,92 131,92 131,92 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-04 1 1 133,08 133,08 133,08 133,08 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-05 1 1 133,04 133,04 133,04 133,04 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-06 1 1 132,99 132,99 132,99 132,99 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-07 1 1 132,2 132,2 132,2 132,2 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-08 1 1 132,62 132,62 132,62 132,62 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-11 1 1 134,04 134,04 134,04 134,04 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-12 1 1 133,56 133,56 133,56 133,56 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-13 1 1 132,36 132,36 132,36 132,36 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-14 1 1 132,16 132,16 132,16 132,16 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-15 1 1 132,41 132,41 132,41 132,41 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-18 1 1 132,69 132,69 132,69 132,69 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-19 1 1 132,95 132,95 132,95 132,95 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-20 1 1 132,66 132,66 132,66 132,66 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-21 1 1 134,08 134,08 134,08 134,08 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-22 1 1 133,08 133,08 133,08 133,08 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-25 1 1 133,63 133,63 133,63 133,63 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-26 1 1 133,15 133,15 133,15 133,15 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-27 1 1 134,34 134,34 134,34 134,34 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-28 1 1 134,25 134,25 134,25 134,25 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-07-29 1 1 134,37 134,37 134,37 134,37 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-01 1 1 133,59 133,59 133,59 133,59 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-02 1 1 134,08 134,08 134,08 134,08 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-03 1 1 134,31 134,31 134,31 134,31 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-04 1 1 133,28 133,28 133,28 133,28 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-05 1 1 131,67 131,67 131,67 131,67 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-08 1 1 131,23 131,23 131,23 131,23 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-09 1 1 130,95 130,95 130,95 130,95 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-10 1 1 131,51 131,51 131,51 131,51 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-11 1 1 131,07 131,07 131,07 131,07 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-12 1 1 130,69 130,69 130,69 130,69 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-16 1 1 130,69 130,69 130,69 130,69 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-17 1 1 131,17 131,17 131,17 131,17 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-18 1 1 131,74 131,74 131,74 131,74 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-19 1 1 132,1 132,1 132,1 132,1 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-22 1 1 131,76 131,76 131,76 131,76 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-23 1 1 131,52 131,52 131,52 131,52 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-24 1 1 130,75 130,75 130,75 130,75 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-25 1 1 129,11 129,11 129,11 129,11 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-26 1 1 129,59 129,59 129,59 129,59 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-29 1 1 128,26 128,26 128,26 128,26 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-30 1 1 129,74 129,74 129,74 129,74 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-08-31 1 1 130,39 130,39 130,39 130,39 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-01 1 1 130,42 130,42 130,42 130,42 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-02 1 1 129,72 129,72 129,72 129,72 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-05 1 1 129,26 129,26 129,26 129,26 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-06 1 1 130,33 130,33 130,33 130,33 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-07 1 1 131,63 131,63 131,63 131,63 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-08 1 1 132,87 132,87 132,87 132,87 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-09 1 1 133,68 133,68 133,68 133,68 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-12 1 1 134,12 134,12 134,12 134,12 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-13 1 1 133,95 133,95 133,95 133,95 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-14 1 1 133,22 133,22 133,22 133,22 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-15 1 1 133,72 133,72 133,72 133,72 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-16 1 1 133 133 133 133 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-19 1 1 134,34 134,34 134,34 134,34 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-20 1 1 134,11 134,11 134,11 134,11 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-21 1 1 133,37 133,37 133,37 133,37 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-22 1 1 132,64 132,64 132,64 132,64 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-23 1 1 133,72 133,72 133,72 133,72 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-26 1 1 134,93 134,93 134,93 134,93 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-27 1 1 135,09 135,09 135,09 135,09 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-28 1 1 133,97 133,97 133,97 133,97 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-29 1 1 133,53 133,53 133,53 133,53 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-09-30 1 1 133,87 133,87 133,87 133,87 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-03 1 1 134,36 134,36 134,36 134,36 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-04 1 1 135,12 135,12 135,12 135,12 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-05 1 1 135,53 135,53 135,53 135,53 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-06 1 1 133,32 133,32 133,32 133,32 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-07 1 1 132,39 132,39 132,39 132,39 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-10 1 1 132,35 132,35 132,35 132,35 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-11 1 1 133,2 133,2 133,2 133,2 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-12 1 1 132,43 132,43 132,43 132,43 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-13 1 1 132,43 132,43 132,43 132,43 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-14 1 1 132,79 132,79 132,79 132,79 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-17 1 1 133,34 133,34 133,34 133,34 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-18 1 1 134,17 134,17 134,17 134,17 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-19 1 1 135,22 135,22 135,22 135,22 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-20 1 1 135,21 135,21 135,21 135,21 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-21 1 1 132,69 132,69 132,69 132,69 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-24 1 1 133,5 133,5 133,5 133,5 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-25 1 1 135,03 135,03 135,03 135,03 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-26 1 1 132,51 132,51 132,51 132,51 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-27 1 1 132,43 132,43 132,43 132,43 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-28 1 1 130,74 130,74 130,74 130,74 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-10-31 1 1 133,06 133,06 133,06 133,06 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-02 1 1 135,2 135,2 135,2 135,2 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-03 1 1 136,05 136,05 136,05 136,05 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-04 1 1 137,07 137,07 137,07 137,07 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-07 1 1 138,18 138,18 138,18 138,18 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-08 1 1 139,11 139,11 139,11 139,11 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-09 1 1 137,81 137,81 137,81 137,81 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-10 1 1 138,73 138,73 138,73 138,73 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-11 1 1 141,18 141,18 141,18 141,18 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-14 1 1 140,87 140,87 140,87 140,87 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-15 1 1 139,93 139,93 139,93 139,93 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-16 1 1 140,26 140,26 140,26 140,26 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-17 1 1 140,26 140,26 140,26 140,26 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-18 1 1 140,38 140,38 140,38 140,38 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-21 1 1 139,25 139,25 139,25 139,25 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-22 1 1 139,4 139,4 139,4 139,4 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-23 1 1 137,89 137,89 137,89 137,89 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-24 1 1 137,87 137,87 137,87 137,87 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-25 1 1 137,67 137,67 137,67 137,67 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-28 1 1 138,4 138,4 138,4 138,4 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-29 1 1 136,32 136,32 136,32 136,32 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-11-30 1 1 137,26 137,26 137,26 137,26 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-01 1 1 137,3 137,3 137,3 137,3 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-02 1 1 138,96 138,96 138,96 138,96 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-05 1 1 137,98 137,98 137,98 137,98 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-06 1 1 138,39 138,39 138,39 138,39 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-07 1 1 138,35 138,35 138,35 138,35 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-08 1 1 137,22 137,22 137,22 137,22 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-12 1 1 137,72 137,72 137,72 137,72 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-13 1 1 136,76 136,76 136,76 136,76 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-14 1 1 137,33 137,33 137,33 137,33 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-15 1 1 137,4 137,4 137,4 137,4 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-16 1 1 138,12 138,12 138,12 138,12 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-19 1 1 138,42 138,42 138,42 138,42 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-20 1 1 138,53 138,53 138,53 138,53 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-21 1 1 139,63 139,63 139,63 139,63 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-22 1 1 139,89 139,89 139,89 139,89 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-23 1 1 139,87 139,87 139,87 139,87 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-27 1 1 140,7 140,7 140,7 140,7 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-28 1 1 139,43 139,43 139,43 139,43 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-29 1 1 139,62 139,62 139,62 139,62 467928 Danske Fund Management Company S.A. Danske Fund Global Health Care SEK 2005-12-30 1 1 139,89 139,89 139,89 139,89 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-13 1 1 87,76 87,76 87,76 87,76 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-14 1 1 87,81 87,81 87,81 87,81 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-17 1 1 88,8 88,8 88,8 88,8 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-18 1 1 89,01 89,01 89,01 89,01 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-19 1 1 89,15 89,15 89,15 89,15 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-20 1 1 88,65 88,65 88,65 88,65 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-21 1 1 88,59 88,59 88,59 88,59 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-24 1 1 88,29 88,29 88,29 88,29 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-25 1 1 88,49 88,49 88,49 88,49 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-26 1 1 88,8 88,8 88,8 88,8 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-27 1 1 88,43 88,43 88,43 88,43 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-28 1 1 89,26 89,26 89,26 89,26 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-01-31 1 1 89,38 89,38 89,38 89,38 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-01 1 1 89,71 89,71 89,71 89,71 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-02 1 1 90,05 90,05 90,05 90,05 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-03 1 1 90,11 90,11 90,11 90,11 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-04 1 1 90,94 90,94 90,94 90,94 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-07 1 1 92,29 92,29 92,29 92,29 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-08 1 1 92,36 92,36 92,36 92,36 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-09 1 1 92,06 92,06 92,06 92,06 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-10 1 1 91,81 91,81 91,81 91,81 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-11 1 1 91,93 91,93 91,93 91,93 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-14 1 1 92,33 92,33 92,33 92,33 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-15 1 1 92,14 92,14 92,14 92,14 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-16 1 1 92,23 92,23 92,23 92,23 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-17 1 1 91,91 91,91 91,91 91,91 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-18 1 1 91,84 91,84 91,84 91,84 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-21 1 1 92,16 92,16 92,16 92,16 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-22 1 1 91,5 91,5 91,5 91,5 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-23 1 1 90,43 90,43 90,43 90,43 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-24 1 1 90,38 90,38 90,38 90,38 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-25 1 1 91,36 91,36 91,36 91,36 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-02-28 1 1 91,38 91,38 91,38 91,38 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-01 1 1 91,49 91,49 91,49 91,49 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-02 1 1 92,1 92,1 92,1 92,1 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-03 1 1 92,29 92,29 92,29 92,29 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-04 1 1 92,15 92,15 92,15 92,15 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-07 1 1 92,39 92,39 92,39 92,39 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-08 1 1 92,05 92,05 92,05 92,05 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-09 1 1 91,37 91,37 91,37 91,37 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-10 1 1 90,46 90,46 90,46 90,46 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-11 1 1 90,6 90,6 90,6 90,6 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-14 1 1 90,44 90,44 90,44 90,44 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-15 1 1 91,07 91,07 91,07 91,07 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-16 1 1 90,96 90,96 90,96 90,96 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-17 1 1 90,17 90,17 90,17 90,17 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-18 1 1 90,73 90,73 90,73 90,73 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-21 1 1 91,42 91,42 91,42 91,42 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-22 1 1 90,82 90,82 90,82 90,82 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-23 1 1 90,44 90,44 90,44 90,44 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-24 1 1 90,26 90,26 90,26 90,26 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-29 1 1 90,79 90,79 90,79 90,79 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-30 1 1 90,39 90,39 90,39 90,39 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-03-31 1 1 91,31 91,31 91,31 91,31 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-01 1 1 91,56 91,56 91,56 91,56 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-04 1 1 91,5 91,5 91,5 91,5 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-05 1 1 91,88 91,88 91,88 91,88 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-06 1 1 92,3 92,3 92,3 92,3 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-07 1 1 91,97 91,97 91,97 91,97 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-08 1 1 92,96 92,96 92,96 92,96 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-11 1 1 92,35 92,35 92,35 92,35 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-12 1 1 92,14 92,14 92,14 92,14 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-13 1 1 92,68 92,68 92,68 92,68 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-14 1 1 92,16 92,16 92,16 92,16 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-15 1 1 91,27 91,27 91,27 91,27 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-18 1 1 89,09 89,09 89,09 89,09 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-19 1 1 89,78 89,78 89,78 89,78 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-20 1 1 90,25 90,25 90,25 90,25 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-21 1 1 89,44 89,44 89,44 89,44 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-22 1 1 90,43 90,43 90,43 90,43 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-25 1 1 90,37 90,37 90,37 90,37 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-26 1 1 90,61 90,61 90,61 90,61 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-27 1 1 90,18 90,18 90,18 90,18 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-28 1 1 89,86 89,86 89,86 89,86 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-04-29 1 1 89,03 89,03 89,03 89,03 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-02 1 1 90,17 90,17 90,17 90,17 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-03 1 1 90,56 90,56 90,56 90,56 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-04 1 1 90,19 90,19 90,19 90,19 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-06 1 1 90,61 90,61 90,61 90,61 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-09 1 1 91,3 91,3 91,3 91,3 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-10 1 1 91,7 91,7 91,7 91,7 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-11 1 1 90,93 90,93 90,93 90,93 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-12 1 1 91,92 91,92 91,92 91,92 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-13 1 1 91,5 91,5 91,5 91,5 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-17 1 1 91,85 91,85 91,85 91,85 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-18 1 1 92,35 92,35 92,35 92,35 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-19 1 1 93,32 93,32 93,32 93,32 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-20 1 1 93,67 93,67 93,67 93,67 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-23 1 1 93,93 93,93 93,93 93,93 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-24 1 1 93,91 93,91 93,91 93,91 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-25 1 1 93,95 93,95 93,95 93,95 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-26 1 1 93,99 93,99 93,99 93,99 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-27 1 1 94,64 94,64 94,64 94,64 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-30 1 1 94,75 94,75 94,75 94,75 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-05-31 1 1 95,09 95,09 95,09 95,09 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-01 1 1 95,27 95,27 95,27 95,27 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-02 1 1 96,33 96,33 96,33 96,33 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-03 1 1 95,87 95,87 95,87 95,87 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-07 1 1 95,87 95,87 95,87 95,87 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-08 1 1 96,14 96,14 96,14 96,14 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-09 1 1 96,61 96,61 96,61 96,61 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-10 1 1 96,83 96,83 96,83 96,83 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-13 1 1 97,82 97,82 97,82 97,82 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-14 1 1 98,15 98,15 98,15 98,15 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-15 1 1 98,77 98,77 98,77 98,77 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-16 1 1 98,66 98,66 98,66 98,66 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-17 1 1 98,89 98,89 98,89 98,89 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-20 1 1 98,16 98,16 98,16 98,16 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-21 1 1 99,03 99,03 99,03 99,03 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-22 1 1 99,08 99,08 99,08 99,08 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-27 1 1 99,55 99,55 99,55 99,55 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-28 1 1 99,61 99,61 99,61 99,61 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-29 1 1 101,09 101,09 101,09 101,09 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-06-30 1 1 101,07 101,07 101,07 101,07 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-01 1 1 100,83 100,83 100,83 100,83 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-04 1 1 101,94 101,94 101,94 101,94 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-05 1 1 102,04 102,04 102,04 102,04 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-06 1 1 101,65 101,65 101,65 101,65 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-07 1 1 101,19 101,19 101,19 101,19 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-08 1 1 100,99 100,99 100,99 100,99 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-11 1 1 102,04 102,04 102,04 102,04 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-12 1 1 101,91 101,91 101,91 101,91 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-13 1 1 101,62 101,62 101,62 101,62 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-14 1 1 102,09 102,09 102,09 102,09 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-15 1 1 102,29 102,29 102,29 102,29 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-18 1 1 102,3 102,3 102,3 102,3 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-19 1 1 102,47 102,47 102,47 102,47 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-20 1 1 102,08 102,08 102,08 102,08 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-21 1 1 102,48 102,48 102,48 102,48 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-22 1 1 101,85 101,85 101,85 101,85 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-25 1 1 102,54 102,54 102,54 102,54 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-26 1 1 102,08 102,08 102,08 102,08 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-27 1 1 103,23 103,23 103,23 103,23 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-28 1 1 103,13 103,13 103,13 103,13 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-07-29 1 1 103,14 103,14 103,14 103,14 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-01 1 1 102,49 102,49 102,49 102,49 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-02 1 1 102,64 102,64 102,64 102,64 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-03 1 1 103,17 103,17 103,17 103,17 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-04 1 1 102,64 102,64 102,64 102,64 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-05 1 1 101,42 101,42 101,42 101,42 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-08 1 1 101,32 101,32 101,32 101,32 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-09 1 1 101,82 101,82 101,82 101,82 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-10 1 1 102,63 102,63 102,63 102,63 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-11 1 1 102,81 102,81 102,81 102,81 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-12 1 1 102,59 102,59 102,59 102,59 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-16 1 1 102,59 102,59 102,59 102,59 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-17 1 1 102,37 102,37 102,37 102,37 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-18 1 1 102,24 102,24 102,24 102,24 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-19 1 1 102,53 102,53 102,53 102,53 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-22 1 1 103,22 103,22 103,22 103,22 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-23 1 1 103,05 103,05 103,05 103,05 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-24 1 1 102,54 102,54 102,54 102,54 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-25 1 1 101,21 101,21 101,21 101,21 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-26 1 1 101,46 101,46 101,46 101,46 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-29 1 1 100,35 100,35 100,35 100,35 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-30 1 1 101,25 101,25 101,25 101,25 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-08-31 1 1 101,85 101,85 101,85 101,85 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-01 1 1 102,3 102,3 102,3 102,3 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-02 1 1 102,45 102,45 102,45 102,45 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-05 1 1 102,23 102,23 102,23 102,23 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-06 1 1 102,83 102,83 102,83 102,83 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-07 1 1 103,33 103,33 103,33 103,33 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-08 1 1 103,89 103,89 103,89 103,89 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-09 1 1 104,44 104,44 104,44 104,44 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-12 1 1 105,11 105,11 105,11 105,11 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-13 1 1 104,99 104,99 104,99 104,99 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-14 1 1 104,88 104,88 104,88 104,88 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-15 1 1 105,64 105,64 105,64 105,64 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-16 1 1 105,69 105,69 105,69 105,69 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-19 1 1 106,43 106,43 106,43 106,43 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-20 1 1 106,77 106,77 106,77 106,77 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-21 1 1 106,17 106,17 106,17 106,17 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-22 1 1 105,57 105,57 105,57 105,57 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-23 1 1 106,39 106,39 106,39 106,39 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-26 1 1 107,73 107,73 107,73 107,73 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-27 1 1 108,16 108,16 108,16 108,16 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-28 1 1 108,53 108,53 108,53 108,53 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-29 1 1 109,08 109,08 109,08 109,08 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-09-30 1 1 109,01 109,01 109,01 109,01 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-03 1 1 109 109 109 109 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-04 1 1 109,58 109,58 109,58 109,58 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-05 1 1 108,9 108,9 108,9 108,9 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-06 1 1 106,79 106,79 106,79 106,79 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-07 1 1 105,96 105,96 105,96 105,96 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-10 1 1 106,43 106,43 106,43 106,43 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-11 1 1 106,96 106,96 106,96 106,96 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-12 1 1 106,7 106,7 106,7 106,7 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-13 1 1 106,75 106,75 106,75 106,75 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-14 1 1 105,65 105,65 105,65 105,65 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-17 1 1 106,21 106,21 106,21 106,21 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-18 1 1 106,96 106,96 106,96 106,96 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-19 1 1 105,89 105,89 105,89 105,89 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-20 1 1 106,3 106,3 106,3 106,3 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-21 1 1 105,19 105,19 105,19 105,19 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-24 1 1 105,94 105,94 105,94 105,94 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-25 1 1 107,44 107,44 107,44 107,44 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-26 1 1 106,27 106,27 106,27 106,27 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-27 1 1 106,99 106,99 106,99 106,99 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-28 1 1 104,99 104,99 104,99 104,99 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-10-31 1 1 106,79 106,79 106,79 106,79 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-02 1 1 109,16 109,16 109,16 109,16 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-03 1 1 110,28 110,28 110,28 110,28 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-04 1 1 111,7 111,7 111,7 111,7 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-07 1 1 112,05 112,05 112,05 112,05 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-08 1 1 112,49 112,49 112,49 112,49 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-09 1 1 111,53 111,53 111,53 111,53 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-10 1 1 112,59 112,59 112,59 112,59 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-11 1 1 113,34 113,34 113,34 113,34 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-14 1 1 112,61 112,61 112,61 112,61 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-15 1 1 112,48 112,48 112,48 112,48 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-16 1 1 112,28 112,28 112,28 112,28 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-17 1 1 112,98 112,98 112,98 112,98 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-18 1 1 113,17 113,17 113,17 113,17 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-21 1 1 112,32 112,32 112,32 112,32 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-22 1 1 112,56 112,56 112,56 112,56 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-23 1 1 112,57 112,57 112,57 112,57 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-24 1 1 112,7 112,7 112,7 112,7 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-25 1 1 112,75 112,75 112,75 112,75 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-28 1 1 113,11 113,11 113,11 113,11 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-29 1 1 111,44 111,44 111,44 111,44 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-11-30 1 1 112,25 112,25 112,25 112,25 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-01 1 1 112,46 112,46 112,46 112,46 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-02 1 1 114,1 114,1 114,1 114,1 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-05 1 1 113,67 113,67 113,67 113,67 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-06 1 1 113,72 113,72 113,72 113,72 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-07 1 1 113,64 113,64 113,64 113,64 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-08 1 1 112,48 112,48 112,48 112,48 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-12 1 1 113,75 113,75 113,75 113,75 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-13 1 1 113,39 113,39 113,39 113,39 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-14 1 1 113,25 113,25 113,25 113,25 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-15 1 1 113,6 113,6 113,6 113,6 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-16 1 1 114,08 114,08 114,08 114,08 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-19 1 1 114,16 114,16 114,16 114,16 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-20 1 1 113,66 113,66 113,66 113,66 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-21 1 1 115,54 115,54 115,54 115,54 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-22 1 1 115,61 115,61 115,61 115,61 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-23 1 1 115,59 115,59 115,59 115,59 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-27 1 1 116,17 116,17 116,17 116,17 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-28 1 1 115,28 115,28 115,28 115,28 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-29 1 1 115,37 115,37 115,37 115,37 432096 Danske Fund Management Company S.A. Danske Fund Global Stockpicking SEK 2005-12-30 1 1 115,62 115,62 115,62 115,62 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-03 1 1 714,6197 714,6197 714,6197 714,6197 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-04 1 1 718,2597 718,2597 718,2597 718,2597 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-05 1 1 713,3378 713,3378 713,3378 713,3378 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-07 1 1 713,9844 713,9844 713,9844 713,9844 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-10 1 1 721,394 721,394 721,394 721,394 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-11 1 1 713,392 713,392 713,392 713,392 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-12 1 1 703,6631 703,6631 703,6631 703,6631 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-13 1 1 706,471 706,471 706,471 706,471 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-14 1 1 710,6522 710,6522 710,6522 710,6522 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-17 1 1 717,1218 717,1218 717,1218 717,1218 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-18 1 1 714,6036 714,6036 714,6036 714,6036 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-19 1 1 713,1171 713,1171 713,1171 713,1171 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-20 1 1 705,5562 705,5562 705,5562 705,5562 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-21 1 1 703,8969 703,8969 703,8969 703,8969 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-24 1 1 694,5481 694,5481 694,5481 694,5481 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-25 1 1 701,1187 701,1187 701,1187 701,1187 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-26 1 1 702,922 702,922 702,922 702,922 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-27 1 1 707,1028 707,1028 707,1028 707,1028 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-28 1 1 702,4374 702,4374 702,4374 702,4374 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-01-31 1 1 706,889 706,889 706,889 706,889 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-01 1 1 713,1514 713,1514 713,1514 713,1514 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-02 1 1 717,2096 717,2096 717,2096 717,2096 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-03 1 1 715,5324 715,5324 715,5324 715,5324 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-04 1 1 722,9217 722,9217 722,9217 722,9217 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-07 1 1 728,979 728,979 728,979 728,979 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-08 1 1 732,4537 732,4537 732,4537 732,4537 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-09 1 1 731,2817 731,2817 731,2817 731,2817 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-10 1 1 719,8668 719,8668 719,8668 719,8668 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-11 1 1 727,3654 727,3654 727,3654 727,3654 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-14 1 1 730,5501 730,5501 730,5501 730,5501 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-15 1 1 734,9613 734,9613 734,9613 734,9613 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-16 1 1 727,9862 727,9862 727,9862 727,9862 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-17 1 1 729,565 729,565 729,565 729,565 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-18 1 1 725,2019 725,2019 725,2019 725,2019 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-21 1 1 729,8582 729,8582 729,8582 729,8582 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-22 1 1 730,1913 730,1913 730,1913 730,1913 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-23 1 1 729,3957 729,3957 729,3957 729,3957 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-24 1 1 731,6417 731,6417 731,6417 731,6417 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-25 1 1 742,3527 742,3527 742,3527 742,3527 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-02-28 1 1 743,2949 743,2949 743,2949 743,2949 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-01 1 1 745,1988 745,1988 745,1988 745,1988 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-02 1 1 748,0094 748,0094 748,0094 748,0094 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-03 1 1 748,0673 748,0673 748,0673 748,0673 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-04 1 1 755,639 755,639 755,639 755,639 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-07 1 1 752,7732 752,7732 752,7732 752,7732 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-08 1 1 749,6185 749,6185 749,6185 749,6185 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-09 1 1 747,6631 747,6631 747,6631 747,6631 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-10 1 1 741,3149 741,3149 741,3149 741,3149 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-11 1 1 745,4445 745,4445 745,4445 745,4445 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-14 1 1 746,917 746,917 746,917 746,917 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-15 1 1 750,5932 750,5932 750,5932 750,5932 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-16 1 1 741,2746 741,2746 741,2746 741,2746 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-17 1 1 743,8308 743,8308 743,8308 743,8308 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-18 1 1 741,4032 741,4032 741,4032 741,4032 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-21 1 1 739,6084 739,6084 739,6084 739,6084 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-22 1 1 743,616 743,616 743,616 743,616 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-23 1 1 741,3734 741,3734 741,3734 741,3734 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-24 1 1 741,8399 741,8399 741,8399 741,8399 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-29 1 1 743,6601 743,6601 743,6601 743,6601 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-30 1 1 741,505 741,505 741,505 741,505 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-03-31 1 1 742,9891 742,9891 742,9891 742,9891 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-01 1 1 748,3334 748,3334 748,3334 748,3334 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-04 1 1 743,9158 743,9158 743,9158 743,9158 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-05 1 1 753,5318 753,5318 753,5318 753,5318 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-06 1 1 759,3767 759,3767 759,3767 759,3767 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-07 1 1 761,7113 761,7113 761,7113 761,7113 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-08 1 1 766,2016 766,2016 766,2016 766,2016 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-11 1 1 767,5778 767,5778 767,5778 767,5778 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-12 1 1 763,0031 763,0031 763,0031 763,0031 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-13 1 1 768,809 768,809 768,809 768,809 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-14 1 1 769,3047 769,3047 769,3047 769,3047 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-15 1 1 754,878 754,878 754,878 754,878 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-18 1 1 739,5379 739,5379 739,5379 739,5379 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-19 1 1 743,6777 743,6777 743,6777 743,6777 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-20 1 1 735,8503 735,8503 735,8503 735,8503 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-21 1 1 736,1799 736,1799 736,1799 736,1799 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-22 1 1 748,0682 748,0682 748,0682 748,0682 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-25 1 1 746,0102 746,0102 746,0102 746,0102 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-26 1 1 741,7706 741,7706 741,7706 741,7706 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-27 1 1 725,7191 725,7191 725,7191 725,7191 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-28 1 1 722,9731 722,9731 722,9731 722,9731 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-04-29 1 1 724,421 724,421 724,421 724,421 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-02 1 1 730,7304 730,7304 730,7304 730,7304 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-03 1 1 734,6408 734,6408 734,6408 734,6408 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-04 1 1 736,5483 736,5483 736,5483 736,5483 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-06 1 1 744,4297 744,4297 744,4297 744,4297 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-09 1 1 747,6326 747,6326 747,6326 747,6326 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-10 1 1 742,7222 742,7222 742,7222 742,7222 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-11 1 1 740,5962 740,5962 740,5962 740,5962 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-12 1 1 747,4939 747,4939 747,4939 747,4939 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-13 1 1 750,0323 750,0323 750,0323 750,0323 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-16 1 1 753,703 753,703 753,703 753,703 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-17 1 1 754,7273 754,7273 754,7273 754,7273 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-18 1 1 760,2554 760,2554 760,2554 760,2554 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-19 1 1 761,0742 761,0742 761,0742 761,0742 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-20 1 1 761,124 761,124 761,124 761,124 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-23 1 1 763,3378 763,3378 763,3378 763,3378 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-24 1 1 768,2825 768,2825 768,2825 768,2825 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-25 1 1 765,8951 765,8951 765,8951 765,8951 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-26 1 1 773,6811 773,6811 773,6811 773,6811 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-27 1 1 775,8481 775,8481 775,8481 775,8481 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-30 1 1 778,6159 778,6159 778,6159 778,6159 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-05-31 1 1 777,4908 777,4908 777,4908 777,4908 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-01 1 1 778,8595 778,8595 778,8595 778,8595 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-02 1 1 776,1791 776,1791 776,1791 776,1791 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-03 1 1 776,1944 776,1944 776,1944 776,1944 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-07 1 1 780,6622 780,6622 780,6622 780,6622 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-08 1 1 785,3833 785,3833 785,3833 785,3833 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-09 1 1 784,1303 784,1303 784,1303 784,1303 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-10 1 1 791,0468 791,0468 791,0468 791,0468 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-13 1 1 793,7247 793,7247 793,7247 793,7247 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-14 1 1 797,7526 797,7526 797,7526 797,7526 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-15 1 1 794,0992 794,0992 794,0992 794,0992 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-16 1 1 799,5304 799,5304 799,5304 799,5304 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-17 1 1 798,9267 798,9267 798,9267 798,9267 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-20 1 1 800,8265 800,8265 800,8265 800,8265 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-21 1 1 808,4844 808,4844 808,4844 808,4844 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-22 1 1 808,4306 808,4306 808,4306 808,4306 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-23 1 1 816,6184 816,6184 816,6184 816,6184 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-27 1 1 802,5012 802,5012 802,5012 802,5012 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-28 1 1 806,586 806,586 806,586 806,586 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-29 1 1 813,655 813,655 813,655 813,655 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-06-30 1 1 816,6629 816,6629 816,6629 816,6629 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-01 1 1 819,3025 819,3025 819,3025 819,3025 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-04 1 1 820,7414 820,7414 820,7414 820,7414 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-05 1 1 817,9261 817,9261 817,9261 817,9261 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-06 1 1 820,1794 820,1794 820,1794 820,1794 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-07 1 1 810,2211 810,2211 810,2211 810,2211 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-08 1 1 823,6584 823,6584 823,6584 823,6584 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-11 1 1 837,3082 837,3082 837,3082 837,3082 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-12 1 1 839,1723 839,1723 839,1723 839,1723 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-13 1 1 840,4772 840,4772 840,4772 840,4772 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-14 1 1 837,9003 837,9003 837,9003 837,9003 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-15 1 1 835,5811 835,5811 835,5811 835,5811 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-18 1 1 833,1112 833,1112 833,1112 833,1112 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-19 1 1 835,7752 835,7752 835,7752 835,7752 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-20 1 1 830,7267 830,7267 830,7267 830,7267 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-21 1 1 827,7291 827,7291 827,7291 827,7291 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-22 1 1 829,2244 829,2244 829,2244 829,2244 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-25 1 1 826,4961 826,4961 826,4961 826,4961 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-26 1 1 827,7926 827,7926 827,7926 827,7926 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-27 1 1 830,8004 830,8004 830,8004 830,8004 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-28 1 1 833,6837 833,6837 833,6837 833,6837 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-07-29 1 1 831,8551 831,8551 831,8551 831,8551 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-01 1 1 831,6653 831,6653 831,6653 831,6653 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-02 1 1 837,2948 837,2948 837,2948 837,2948 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-03 1 1 838,8459 838,8459 838,8459 838,8459 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-04 1 1 834,1691 834,1691 834,1691 834,1691 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-05 1 1 829,3052 829,3052 829,3052 829,3052 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-08 1 1 830,3827 830,3827 830,3827 830,3827 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-09 1 1 832,0513 832,0513 832,0513 832,0513 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-10 1 1 839,2464 839,2464 839,2464 839,2464 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-11 1 1 838,3026 838,3026 838,3026 838,3026 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-12 1 1 834,0876 834,0876 834,0876 834,0876 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-15 1 1 831,2605 831,2605 831,2605 831,2605 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-16 1 1 826,6744 826,6744 826,6744 826,6744 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-17 1 1 826,4484 826,4484 826,4484 826,4484 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-18 1 1 826,0503 826,0503 826,0503 826,0503 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-19 1 1 828,563 828,563 828,563 828,563 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-22 1 1 830,8444 830,8444 830,8444 830,8444 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-23 1 1 828,8197 828,8197 828,8197 828,8197 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-24 1 1 820,9543 820,9543 820,9543 820,9543 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-25 1 1 812,2295 812,2295 812,2295 812,2295 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-26 1 1 809,6871 809,6871 809,6871 809,6871 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-29 1 1 811,825 811,825 811,825 811,825 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-30 1 1 813,6084 813,6084 813,6084 813,6084 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-08-31 1 1 821,6811 821,6811 821,6811 821,6811 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-01 1 1 821,658 821,658 821,658 821,658 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-02 1 1 819,8288 819,8288 819,8288 819,8288 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-05 1 1 822,1385 822,1385 822,1385 822,1385 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-06 1 1 829,3067 829,3067 829,3067 829,3067 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-07 1 1 833,0921 833,0921 833,0921 833,0921 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-08 1 1 830,4079 830,4079 830,4079 830,4079 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-09 1 1 838,2574 838,2574 838,2574 838,2574 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-12 1 1 840,8029 840,8029 840,8029 840,8029 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-13 1 1 841,1563 841,1563 841,1563 841,1563 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-14 1 1 844,5874 844,5874 844,5874 844,5874 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-15 1 1 843,0648 843,0648 843,0648 843,0648 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-16 1 1 844,9379 844,9379 844,9379 844,9379 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-19 1 1 846,0828 846,0828 846,0828 846,0828 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-20 1 1 849,17 849,17 849,17 849,17 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-21 1 1 842,8528 842,8528 842,8528 842,8528 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-22 1 1 844,7307 844,7307 844,7307 844,7307 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-23 1 1 847,4298 847,4298 847,4298 847,4298 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-26 1 1 853,5584 853,5584 853,5584 853,5584 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-27 1 1 853,2738 853,2738 853,2738 853,2738 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-28 1 1 856,2742 856,2742 856,2742 856,2742 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-29 1 1 858,362 858,362 858,362 858,362 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-09-30 1 1 862,8709 862,8709 862,8709 862,8709 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-03 1 1 868,463 868,463 868,463 868,463 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-04 1 1 865,696 865,696 865,696 865,696 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-05 1 1 860,1576 860,1576 860,1576 860,1576 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-06 1 1 850,2062 850,2062 850,2062 850,2062 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-07 1 1 847,0083 847,0083 847,0083 847,0083 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-10 1 1 854,115 854,115 854,115 854,115 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-11 1 1 856,2915 856,2915 856,2915 856,2915 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-12 1 1 847,6933 847,6933 847,6933 847,6933 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-13 1 1 839,8348 839,8348 839,8348 839,8348 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-14 1 1 839,3042 839,3042 839,3042 839,3042 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-17 1 1 838,8866 838,8866 838,8866 838,8866 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-18 1 1 838,778 838,778 838,778 838,778 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-19 1 1 826,2841 826,2841 826,2841 826,2841 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-20 1 1 825,4487 825,4487 825,4487 825,4487 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-21 1 1 819,8713 819,8713 819,8713 819,8713 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-24 1 1 827,4336 827,4336 827,4336 827,4336 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-25 1 1 829,8506 829,8506 829,8506 829,8506 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-26 1 1 835,5056 835,5056 835,5056 835,5056 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-27 1 1 824,3732 824,3732 824,3732 824,3732 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-28 1 1 826,4792 826,4792 826,4792 826,4792 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-10-31 1 1 843,3255 843,3255 843,3255 843,3255 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-01 1 1 849,3131 849,3131 849,3131 849,3131 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-02 1 1 850,523 850,523 850,523 850,523 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-03 1 1 860,6026 860,6026 860,6026 860,6026 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-04 1 1 856,3663 856,3663 856,3663 856,3663 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-07 1 1 857,3716 857,3716 857,3716 857,3716 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-08 1 1 856,0862 856,0862 856,0862 856,0862 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-09 1 1 859,1032 859,1032 859,1032 859,1032 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-10 1 1 860,6776 860,6776 860,6776 860,6776 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-11 1 1 870,1746 870,1746 870,1746 870,1746 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-14 1 1 871,197 871,197 871,197 871,197 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-15 1 1 869,295 869,295 869,295 869,295 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-16 1 1 871,2886 871,2886 871,2886 871,2886 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-17 1 1 874,2937 874,2937 874,2937 874,2937 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-18 1 1 877,8083 877,8083 877,8083 877,8083 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-21 1 1 883,0492 883,0492 883,0492 883,0492 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-22 1 1 883,46 883,46 883,46 883,46 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-23 1 1 885,2749 885,2749 885,2749 885,2749 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-24 1 1 884,1714 884,1714 884,1714 884,1714 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-25 1 1 886,8804 886,8804 886,8804 886,8804 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-28 1 1 886,0114 886,0114 886,0114 886,0114 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-29 1 1 886,8741 886,8741 886,8741 886,8741 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-11-30 1 1 882,4298 882,4298 882,4298 882,4298 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-01 1 1 892,4179 892,4179 892,4179 892,4179 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-02 1 1 896,0857 896,0857 896,0857 896,0857 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-05 1 1 893,2511 893,2511 893,2511 893,2511 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-06 1 1 899,5331 899,5331 899,5331 899,5331 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-07 1 1 902,6229 902,6229 902,6229 902,6229 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-08 1 1 908,6767 908,6767 908,6767 908,6767 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-12 1 1 910,0337 910,0337 910,0337 910,0337 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-13 1 1 908,313 908,313 908,313 908,313 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-14 1 1 905,8866 905,8866 905,8866 905,8866 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-15 1 1 906,2899 906,2899 906,2899 906,2899 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-16 1 1 913,6476 913,6476 913,6476 913,6476 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-19 1 1 915,2358 915,2358 915,2358 915,2358 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-20 1 1 912,3642 912,3642 912,3642 912,3642 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-21 1 1 919,99 919,99 919,99 919,99 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-22 1 1 922,9404 922,9404 922,9404 922,9404 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-23 1 1 927,4976 927,4976 927,4976 927,4976 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-27 1 1 931,3731 931,3731 931,3731 931,3731 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-28 1 1 929,488 929,488 929,488 929,488 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-29 1 1 936,1293 936,1293 936,1293 936,1293 291906 Didner & Gerge Fonder AB Didner & Gerge Aktiefond SEK 2005-12-30 1 1 933,9122 933,9122 933,9122 933,9122 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-03 1,0958 1,0942 288,072176 286,922188 315,6694904608 313,9502581096 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-04 1,0963 1,0947 290,701601 289,541115 318,6961651763 316,9606585905 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-05 1,0923 1,0907 289,556269 288,400355 316,2823126287 314,5582671985 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-07 1,0978 1,0962 290,42551 289,266126 318,829124878 317,0935273212 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-10 1,1082 1,1066 290,471918 289,31235 321,9009795276 320,15304651 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-11 1,1082 1,1066 286,279074 285,706516 317,2544698068 316,1628306056 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-12 1,1038 1,1022 284,727882 283,591244 314,2826361516 312,5742691368 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-13 1,1023 1,1007 285,059037 283,921077 314,2205764851 312,5119294539 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-14 1,1073 1,1057 286,554812 285,41088 317,3021433276 315,578810016 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-17 1,1058 1,1042 287,834734 286,685694 318,2876488572 316,5583433148 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-18 1,1083 1,1067 287,102815 285,956695 318,1960498645 316,4682743565 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-19 1,1083 1,1067 287,943763 286,794287 319,1280725329 317,3952374229 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-20 1,1073 1,1057 287,445535 286,298047 318,2884409055 316,5597505679 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-21 1,1038 1,1022 287,474054 286,326452 317,3138608052 315,5890153944 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-24 1,1053 1,1037 286,947143 285,801645 317,1626771579 315,4392755865 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-25 1,1063 1,1047 289,300188 288,145298 320,0527979844 318,3141107006 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-26 1,1038 1,1022 290,864623 289,703487 321,0563708674 319,3111833714 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-27 1,0988 1,0972 291,902897 290,737615 320,7429032236 318,997311178 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-28 1,1033 1,1017 290,605314 289,445212 320,6248429362 318,8817900604 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-01-31 1,1028 1,1012 293,564125 292,392213 323,74251705 321,9823049556 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-01 1,0983 1,0967 295,926522 294,745178 325,0160991126 323,2470367126 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-02 1,0988 1,0972 295,828474 294,647522 325,0563272312 323,2872611384 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-03 1,0983 1,0967 296,376331 295,193191 325,5101243373 323,7383725697 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-04 1,0968 1,0952 299,64488 298,448692 328,650504384 326,8610074784 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-07 1,0938 1,0922 303,001092 301,791506 331,4225944296 329,6166828532 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-08 1,0898 1,0882 304,344051 303,129105 331,6741467798 329,865092061 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-09 1,0843 1,0827 304,014951 302,801319 329,6434113693 327,8429880813 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-10 1,0848 1,0832 305,688696 304,468382 331,6110974208 329,8001513824 227504 DnB NOR Kapitalforvaltning 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300,344104 332,5470108864 330,7389273248 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-23 1,1023 1,1007 298,945065 297,751671 329,5271451495 327,7352642697 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-24 1,1013 1,0997 299,542135 298,346359 329,8857532755 328,0914909923 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-25 1,1018 1,1002 302,749302 301,540722 333,5691809436 331,7551023444 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-02-28 1,0968 1,0952 300,782883 299,582153 329,8986660744 328,1023739656 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-01 1,1013 1,0997 301,5402 300,336446 332,08622226 330,2799896662 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-02 1,1068 1,1052 302,623454 301,415376 334,9436388872 333,1242735552 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-03 1,1058 1,1042 302,548906 301,341126 334,5585802548 332,7408713292 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-04 1,1013 1,0997 305,296836 304,078086 336,2234054868 334,3946711742 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-07 1,1003 1,0987 303,937951 302,724625 334,4229274853 332,6035454875 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-08 1,1033 1,1017 302,035024 300,829296 333,2352419792 331,4236354032 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-09 1,1053 1,1037 300,521798 299,32211 332,1667433294 330,361812807 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-10 1,1053 1,1037 296,857591 295,672531 328,1166953323 326,3337724647 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-11 1,1113 1,1097 297,723597 296,535079 330,8602333461 329,0649771663 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-14 1,1113 1,1097 297,503874 296,316234 330,6160551762 328,8221248698 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-15 1,1138 1,1122 300,65503 299,45481 334,869572414 333,053639682 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-16 1,1128 1,1112 296,15002 294,967784 329,555742256 327,7682015808 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-17 1,1193 1,1177 294,524416 293,34867 329,6611788288 327,875808459 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-18 1,1193 1,1177 294,830064 293,653098 330,0032906352 328,2160676346 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-21 1,1218 1,1202 294,822999 293,646061 330,7324402782 328,9423175322 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-22 1,1183 1,1167 296,891139 295,705945 332,0133607437 330,2148287815 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-23 1,1158 1,1142 296,227783 295,045237 330,5309602714 328,7394030654 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-29 1,1103 1,1087 299,778371 298,581651 332,8439253213 331,0374764637 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-30 1,1168 1,1152 298,172852 296,982542 332,9994411136 331,1949308384 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-03-31 1,1163 1,1147 299,032358 297,838616 333,8098212354 332,0007052552 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-01 1,1173 1,1157 300,305121 299,106299 335,5309116933 333,7128977943 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-04 1,1198 1,1182 298,743752 297,551162 334,5332534896 332,7217093484 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-05 1,1223 1,1207 300,200138 299,001734 336,9146148774 335,0912432938 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-06 1,1243 1,1227 301,776885 300,572187 339,2877518055 337,4523943449 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-07 1,1208 1,1192 302,396871 301,189697 338,9264130168 337,0915088824 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-08 1,1208 1,1192 303,622746 302,41068 340,3003737168 338,458033056 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-11 1,1203 1,1187 303,180577 301,970275 339,6532004131 337,8141466425 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-12 1,1173 1,1157 302,182526 300,976208 337,6285362998 335,7991552656 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-13 1,1183 1,1167 304,915612 303,698384 340,9871288996 339,1399854128 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-14 1,1153 1,1137 305,2468 304,02825 340,44175604 338,596262025 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-15 1,1178 1,1162 300,91128 299,710038 336,358628784 334,5363444156 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-18 1,1148 1,1132 294,66573 293,48942 328,493355804 326,712422344 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-19 1,1213 1,1197 297,242264 296,055668 333,2977506232 331,4935314596 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-20 1,1218 1,1202 294,496199 293,320565 330,3658360382 328,577696913 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-21 1,1253 1,1237 293,761319 292,588619 330,5696122707 328,7818311703 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-22 1,1248 1,1232 295,65921 294,478934 332,557479408 330,7587386688 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-25 1,1258 1,1242 295,923242 294,741912 333,1503858436 331,3488574704 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-26 1,1243 1,1227 294,936237 293,758847 331,5968112591 329,8030575269 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-27 1,1253 1,1237 289,545307 288,389437 325,8253339671 324,0632103569 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-28 1,1248 1,1232 289,670625 288,514255 325,821519 324,059211216 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-04-29 1,1268 1,1252 289,479466 288,32386 326,1854622888 324,422007272 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-02 1,1313 1,1297 290,817542 289,656594 329,0018852646 327,2250542418 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-03 1,1343 1,1327 291,495749 290,332093 330,6436280907 328,8591617411 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-04 1,1323 1,1307 292,206242 291,03975 330,8651278166 329,078645325 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-06 1,1313 1,1297 295,787468 294,60668 334,6243625484 332,817166396 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-09 1,1288 1,1272 294,707859 293,531381 332,6662312392 330,8685726632 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-10 1,1328 1,1312 291,88093 290,715736 330,642717504 328,8576405632 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-11 1,1398 1,1382 290,695146 289,534686 331,3343274108 329,5483796052 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-12 1,1418 1,1402 292,663817 291,495499 334,1635462506 332,3631679598 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-13 1,1373 1,1357 292,395405 291,228157 332,5412941065 330,7478179049 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-18 1,1373 1,1357 295,77766 294,59691 336,387932718 334,573710687 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-19 1,1328 1,1312 297,590611 296,402625 337,1106441408 335,2906494 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-20 1,1338 1,1322 297,894443 296,705243 337,7527194734 335,9296761246 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-23 1,1303 1,1287 299,067415 297,873533 338,0358991745 336,2098566971 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-24 1,1323 1,1307 298,307749 297,116899 337,7738641927 335,9500776993 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-25 1,1353 1,1337 296,954422 295,768976 337,1323552966 335,3132880912 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-26 1,1478 1,1462 296,645104 295,460892 340,4892503712 338,6572744104 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-27 1,1528 1,1512 296,653774 295,469528 341,9824706672 340,1445206336 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-30 1,1538 1,1522 297,629525 296,441383 343,404945945 341,5597614926 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-05-31 1,1488 1,1472 295,690631 294,510229 339,6893968928 337,8621347088 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-01 1,1533 1,1517 299,22016 298,025668 345,090610528 343,2361618356 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-02 1,1563 1,1547 299,537161 298,341403 346,3548192643 344,4948180441 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-03 1,1533 1,1517 295,430016 294,250654 340,7194374528 338,8884782118 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-07 1,1613 1,1597 298,753019 297,560393 346,9418809647 345,0807877621 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-08 1,1593 1,1577 300,150797 298,952591 347,9648189621 346,0974146007 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-09 1,1618 1,1602 298,975079 297,781565 347,3492467822 345,486171713 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-10 1,1648 1,1632 299,148984 297,954776 348,4487365632 346,5809954432 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-13 1,1778 1,1762 300,390792 299,191628 353,8002748176 351,9091928536 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-14 1,1823 1,1807 302,025296 300,819606 357,0845074608 355,1777088042 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-15 1,1798 1,1782 301,070276 299,868398 355,2027116248 353,3049465236 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-16 1,1773 1,1757 301,730197 300,525685 355,2269609281 353,3280478545 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-17 1,1798 1,1782 303,929038 302,715748 358,5754790324 356,6596942936 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-20 1,1728 1,1712 301,982394 300,776876 354,1649516832 352,2698771712 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-21 1,1803 1,1787 302,896017 301,686851 357,5081688651 355,5982912737 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-22 1,1773 1,1757 304,354253 303,139266 358,3162620569 356,4008350362 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-23 1,1853 1,1837 305,660108 304,439908 362,2989260124 360,3655190996 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-27 1,1838 1,1822 302,862391 301,653359 358,5284984658 356,6146010098 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-28 1,1833 1,1817 305,969154 304,74772 362,0532999282 360,120380724 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-29 1,1888 1,1872 305,067344 303,84951 362,6640585472 360,730138272 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-06-30 1,1933 1,1917 304,669169 303,452925 363,5617193677 361,6248507225 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-01 1,1983 1,1967 305,914458 304,693242 366,5772950214 364,6264027014 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-04 1,2048 1,2032 306,779663 305,554993 369,6081379824 367,6437675776 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-05 1,1983 1,1967 307,200517 305,974167 368,1183795211 366,1592856489 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-06 1,1918 1,1902 310,206862 308,968512 369,7045381316 367,7343229824 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-07 1,1883 1,1867 304,014188 302,800558 361,2600596004 359,3334221786 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-08 1,1943 1,1927 307,893945 306,664827 367,7177385135 365,7591391629 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-11 1,1998 1,1982 310,306799 309,068049 372,3060974402 370,3253363118 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-12 1,1983 1,1967 308,961799 307,728419 370,2289237417 368,2585990173 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-13 1,1908 1,1892 310,848627 309,607715 370,1585450316 368,185494678 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-14 1,1838 1,1822 314,107096 312,853176 371,8399802448 369,8550246672 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-15 1,1823 1,1807 314,232067 312,977647 371,5165728141 369,5327078129 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-18 1,1808 1,1792 314,978012 313,720614 371,9260365696 369,9393480288 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-19 1,1768 1,1752 316,815167 315,550435 372,8280885256 370,834871212 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-20 1,1768 1,1752 314,520708 313,265136 370,1279691744 368,1491878272 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-21 1,1863 1,1847 315,2062 313,947892 373,92911506 371,9340676524 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-22 1,1868 1,1852 314,870748 313,613778 373,6886037264 371,6950496856 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-25 1,1863 1,1847 313,416939 312,165773 371,8065147357 369,8227912731 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-26 1,1913 1,1897 313,256606 312,00608 373,1825947278 371,193633376 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-27 1,1978 1,1962 314,802418 313,545722 377,0703362804 375,0633926564 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-28 1,1928 1,1912 315,812862 314,552132 376,7015817936 374,6944996384 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-07-29 1,1883 1,1867 314,528035 313,272435 373,7536639905 371,7603986145 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-01 1,1963 1,1947 314,25713 313,00261 375,945804619 373,944218167 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-02 1,1983 1,1967 316,305774 315,043077 379,0292089842 377,0120502459 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-03 1,1933 1,1917 316,127728 314,865742 377,2352178224 375,2255047414 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-04 1,1933 1,1917 314,028377 312,774771 374,7300622741 372,7336946007 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-05 1,1873 1,1857 313,898427 312,645339 372,6916023771 370,7035784523 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-08 1,1783 1,1767 316,154181 314,892089 372,5244714723 370,5335211263 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-09 1,1818 1,1802 317,912859 316,643745 375,7094167662 373,702947849 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-10 1,1843 1,1827 320,665289 319,385189 379,7639017627 377,7368630303 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-11 1,1828 1,1812 319,426612 318,151456 377,8177966736 375,8004998272 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-12 1,1793 1,1777 319,634437 318,358451 376,9448915541 374,9307477427 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-15 1,1768 1,1752 322,199775 320,913549 379,16469522 377,1376027848 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-16 1,1653 1,1637 321,330466 320,04771 374,4463920298 372,439520127 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-17 1,1773 1,1757 319,387649 318,112649 376,0150791677 374,0050414293 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-18 1,1773 1,1757 319,08896 317,815152 375,663432608 373,6552742064 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-19 1,1748 1,1732 324,066601 322,772921 380,7134428548 378,6771909172 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-22 1,1728 1,1712 323,698871 322,406659 379,6340359088 377,6026790208 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-23 1,1708 1,1692 321,478967 320,195618 376,3875745636 374,3727165656 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-24 1,1743 1,1727 319,253658 317,979192 374,8995705894 372,8941984584 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-25 1,1768 1,1752 315,610487 314,350565 371,4104211016 369,424783988 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-26 1,1773 1,1757 314,162257 312,908117 369,8632251661 367,8860731569 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-29 1,1798 1,1782 313,875921 312,622923 370,3108115958 368,3323278786 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-30 1,1793 1,1777 314,292402 313,037741 370,6450296786 368,6645475757 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-08-31 1,1848 1,1832 314,128612 312,874606 372,1795794976 370,1932338192 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-01 1,1888 1,1872 314,61117 313,355238 374,009758896 372,0153385536 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-02 1,1948 1,1932 313,813221 312,560473 374,9440364508 372,9471563836 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-05 1,1903 1,1887 317,264175 315,997651 377,6395475025 375,6264077437 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-06 1,1898 1,1882 319,448552 318,173308 380,0798871696 378,0535245656 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-07 1,1938 1,1922 319,961033 318,683743 381,9694811954 379,9347584046 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-08 1,1988 1,1972 319,735268 318,45888 383,2986392784 381,258971136 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-09 1,2008 1,1992 320,305489 319,026825 384,6228311912 382,57696854 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-12 1,1953 1,1937 321,660114 320,376042 384,4803342642 382,4328813354 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-13 1,1938 1,1922 319,765158 318,48865 381,7356456204 379,70216853 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-14 1,1953 1,1937 320,475507 319,196163 383,0643735171 381,0244597731 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-15 1,2003 1,1987 319,651564 318,37551 383,6777722692 381,636723837 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-16 1,2008 1,1992 321,418788 320,13568 385,9596806304 383,906707456 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-19 1,1973 1,1957 321,991659 320,706263 385,5206133207 383,4684786691 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-20 1,2018 1,2002 322,15067 320,86464 387,160675206 385,101740928 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-21 1,1988 1,1972 319,507966 318,232486 383,0261496408 380,9879322392 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-22 1,2018 1,2002 317,715094 316,446771 381,8299999692 379,7994145542 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-23 1,2043 1,2027 319,270906 317,996327 384,4979520958 382,4541824829 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-26 1,1993 1,1977 324,107913 322,814069 388,7026200609 386,6344104413 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-27 1,2003 1,1987 323,311357 322,020693 388,0706218071 386,0062046991 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-28 1,2013 1,1997 326,321189 325,018509 392,0096443457 389,9247052473 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-29 1,2023 1,2007 325,65374 324,353725 391,533491602 389,4515176075 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-09-30 1,1918 1,1902 327,766841 326,458391 390,6325211038 388,5507769682 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-03 1,1798 1,1782 330,330034 329,011352 389,7233741132 387,6411749264 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-04 1,1838 1,1822 332,465162 331,137956 393,5722587756 391,4712915832 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-05 1,1788 1,1772 328,342433 327,031685 387,0500600204 384,981699582 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-06 1,1798 1,1782 324,650946 323,354934 383,0231860908 380,9767832388 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-07 1,1828 1,1812 323,771613 322,479111 382,9570638564 380,9123259132 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-10 1,1808 1,1792 323,634697 322,342743 382,1478502176 380,1065625456 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-11 1,1898 1,1882 321,937539 320,652359 383,0412839022 380,9991329638 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-12 1,1918 1,1902 318,73763 317,465224 379,871507434 377,8471096048 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-13 1,2023 1,2007 315,804771 314,544073 379,6920761733 377,6730684511 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-14 1,2028 1,2012 315,364424 314,105484 379,3203291872 377,3035073808 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-17 1,2118 1,2102 315,674659 314,414481 382,5345517762 380,5044049062 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-18 1,2118 1,2102 315,014012 313,756472 381,7339797416 379,7080824144 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-19 1,2103 1,2087 309,111153 307,877177 374,1172284759 372,1311438399 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-20 1,2173 1,2157 309,947162 308,709848 377,2986803026 375,2985622136 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-21 1,2183 1,2167 309,487421 308,251943 377,0485250043 375,0501390481 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-24 1,2243 1,2227 313,943106 312,68984 384,3605446758 382,325867368 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-25 1,2203 1,2187 313,979436 312,726026 383,1491057508 381,1192078862 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-26 1,2148 1,2132 314,354563 313,099655 381,8779231324 379,852501446 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-27 1,2228 1,2212 309,715061 308,478673 378,7195765908 376,7141554676 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-28 1,2188 1,2172 309,603542 308,3676 377,3447969896 375,34504272 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-10-31 1,2233 1,2217 315,935579 314,674359 386,4839937907 384,4376643903 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-01 1,2273 1,2257 316,431495 315,168295 388,3563738135 386,3017791815 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-02 1,2338 1,2322 318,499556 317,2281 392,9647521928 390,88846482 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-03 1,2398 1,2382 323,591897 322,300113 401,1892339006 399,0719999166 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-04 1,2308 1,2292 322,702349 321,414117 397,1820511492 395,0822326164 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-07 1,2348 1,2332 323,742908 322,450522 399,7577427984 397,6459837304 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-08 1,2298 1,2282 323,387542 322,096574 397,7019991516 395,5990121868 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-09 1,2278 1,2262 321,671992 320,387872 394,9488717776 392,8596086464 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-10 1,2428 1,2412 321,366637 320,083737 399,3944564636 397,2879343644 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-11 1,2453 1,2437 325,161226 323,863178 404,9232747378 402,7886344786 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-14 1,2323 1,2307 326,101598 324,799796 401,8549992154 399,7311089372 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-15 1,2293 1,2277 325,778244 324,477732 400,4791953492 398,3613115764 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-16 1,2298 1,2282 323,842479 322,549695 398,2614806742 396,155535399 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-17 1,2318 1,2302 328,200509 326,890327 404,2773869862 402,1404802754 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-18 1,2233 1,2217 330,691053 329,370929 404,5343651349 402,3924639593 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-21 1,2168 1,2152 332,550219 331,222673 404,6471064792 402,5017922296 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-22 1,2143 1,2127 331,927391 330,602331 403,0594308913 400,9214468037 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-23 1,2093 1,2077 334,067009 332,733409 403,9872339837 401,8421380493 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-24 1,2083 1,2067 333,845939 332,513221 403,3860480937 401,2437037807 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-25 1,2028 1,2012 334,393955 333,059049 402,209049074 400,0705296588 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-28 1,2068 1,2052 332,847628 331,518894 401,6805174704 399,5465710488 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-29 1,1968 1,1952 335,618481 334,278687 401,6681980608 399,5298867024 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-11-30 1,1983 1,1967 335,144633 333,806731 401,6038137239 399,4665149877 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-01 1,1963 1,1947 341,503454 340,140166 408,5405820202 406,3654563202 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-02 1,1993 1,1977 341,894593 340,529745 410,0341853849 407,8524755865 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-05 1,1908 1,1892 339,209507 337,855377 403,9306809356 401,7776143284 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-06 1,1948 1,1932 344,913083 343,536185 412,1021515684 409,907375942 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-07 1,1833 1,1817 343,733369 342,361179 406,7396955377 404,5682052243 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-08 1,1848 1,1832 343,802163 342,429699 407,3368027224 405,1628198568 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-12 1,1888 1,1872 343,76055 342,388252 408,66254184 406,4833327744 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-13 1,1853 1,1837 344,639319 343,263513 408,5009848107 406,3210203381 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-14 1,1888 1,1872 343,933339 342,560351 408,8679534032 406,6876487072 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-15 1,1868 1,1852 343,111781 341,742073 407,2050616908 405,0327049196 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-16 1,1943 1,1927 346,649975 345,266143 414,0040651425 411,7989287561 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-19 1,1818 1,1802 347,235708 345,849538 410,3631597144 408,1716247476 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-20 1,1728 1,1712 349,873019 348,476321 410,3310766832 408,1354671552 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-21 1,1728 1,1712 351,823694 350,419208 412,6188283232 410,4109764096 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-22 1,1778 1,1762 350,571906 349,172418 412,9035908868 410,6965980516 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-23 1,1738 1,1722 350,735784 349,335642 411,6936632592 409,4912395524 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-27 1,1833 1,1817 350,269507 348,871225 414,4739076331 412,2611265825 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-28 1,1763 1,1747 350,631247 349,231521 412,4475358461 410,2422677187 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-29 1,1718 1,1702 351,666154 350,262298 412,0823992572 409,8769411196 227504 DnB NOR Kapitalforvaltning ASA DnB NOR Europa NOK 2005-12-30 1,1768 1,1752 348,667264 347,275378 410,3116362752 408,1180242256 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-03 1,0958 1,0942 849,88628 846,49352 931,305385624 926,233209584 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-04 1,0963 1,0947 853,329438 849,922934 935,5050628794 930,4106358498 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-05 1,0923 1,0907 847,174107 843,792175 925,3682770761 920,3241252725 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-07 1,0978 1,0962 849,573532 846,18202 932,6618234296 927,584730324 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-10 1,1082 1,1066 857,448133 854,025187 950,2240209906 945,0642719342 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-11 1,1082 1,1066 845,191735 843,501352 936,641480727 933,4185961232 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-12 1,1038 1,1022 836,087555 832,749881 922,873443209 917,8569188382 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-13 1,1023 1,1007 838,301317 834,954805 924,0595417291 919,0347538635 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-14 1,1073 1,1057 843,798966 840,430508 934,3385950518 929,2640126956 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-17 1,1058 1,1042 850,413538 847,018674 940,3872903204 935,2780198308 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-18 1,1083 1,1067 847,569636 844,186124 939,3614275788 934,2607834308 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-19 1,1083 1,1067 847,265956 843,883656 939,0248590348 933,9260420952 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-20 1,1073 1,1057 839,610623 836,258883 929,7008428479 924,6514469331 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-21 1,1038 1,1022 840,070567 836,716991 927,2698918546 922,2294674802 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-24 1,1053 1,1037 834,26953 830,939112 922,118111509 917,1074979144 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-25 1,1063 1,1047 843,793044 840,424608 933,4882445772 928,4170644576 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-26 1,1038 1,1022 848,781782 845,393432 936,8853309716 931,7926407504 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-27 1,0988 1,0972 854,800468 851,38809 939,2547542384 934,143012348 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-28 1,1033 1,1017 851,528231 848,128917 939,4910972623 934,3836278589 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-01-31 1,1028 1,1012 858,675142 855,247298 946,9469465976 941,7983245576 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-01 1,0983 1,0967 870,117624 866,6441 955,6501864392 950,44858447 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-02 1,0988 1,0972 874,203417 870,713583 960,5747145996 955,3469432676 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-03 1,0983 1,0967 872,747583 869,263561 958,5386704089 953,3213473487 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-04 1,0968 1,0952 882,1867 878,664996 967,58237256 962,3139036192 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-07 1,0938 1,0922 895,725481 892,149731 979,7445311178 974,4059361982 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-08 1,0898 1,0882 897,365041 893,782745 977,9484216818 972,614383109 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-09 1,0843 1,0827 902,485583 898,882847 978,5651176469 973,2204584469 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-10 1,0848 1,0832 899,725597 896,133879 976,0223276256 970,6922177328 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-11 1,0788 1,0772 910,090976 906,457878 981,8061449088 976,4364261816 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-14 1,0828 1,0812 907,563532 903,940524 982,7097924496 977,3404945488 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-15 1,0833 1,0817 912,392261 908,749977 988,3945363413 982,9948501209 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-16 1,0848 1,0832 904,015749 900,406903 980,6762845152 975,3207573296 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-17 1,0863 1,0847 907,718397 904,094771 986,0544946611 980,6715981037 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-18 1,0943 1,0927 895,990368 892,41356 980,4822597024 975,140297012 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-21 1,0998 1,0982 897,356961 893,774697 986,9131857078 981,5433722454 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-22 1,1028 1,1012 896,714619 893,134919 988,8968818332 983,5201728028 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-23 1,1023 1,1007 889,746023 886,194143 980,7670411529 975,4338932001 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-24 1,1013 1,0997 896,056938 892,479864 986,8275058194 981,4601064408 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-25 1,1018 1,1002 905,745689 902,129937 997,9506001402 992,5233566874 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-02-28 1,0968 1,0952 904,891176 901,278836 992,4846418368 987,0805811872 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-01 1,1013 1,0997 905,382549 901,768247 997,0978012137 991,6745412259 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-02 1,1068 1,1052 907,083822 903,462728 1003,9603741896 998,5070069856 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-03 1,1058 1,1042 912,361066 908,718906 1008,8888667828 1003,4074160052 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-04 1,1013 1,0997 922,13909 918,457896 1015,551779817 1010,0281482312 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-07 1,1003 1,0987 919,165793 915,496469 1011,3581220379 1005,8559704903 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-08 1,1033 1,1017 912,019251 908,378455 1006,2308396283 1000,7605438735 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-09 1,1053 1,1037 912,480911 908,838273 1008,5651509283 1003,0848019101 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-10 1,1053 1,1037 899,363523 895,773249 994,0665019719 988,6649349213 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-11 1,1113 1,1097 903,460492 899,853864 1004,0156447596 998,5678328808 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-14 1,1113 1,1097 902,794823 899,190851 1003,2758867999 997,8320873547 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-15 1,1138 1,1122 907,873004 904,24876 1011,1889518552 1005,705470872 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-16 1,1128 1,1112 895,612714 892,037414 996,6378281392 991,2319744368 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-17 1,1193 1,1177 897,223146 893,641416 1004,2618673178 998,8230106632 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-18 1,1193 1,1177 895,496487 891,921651 1002,3292178991 996,9008293227 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-21 1,1218 1,1202 893,524872 889,957906 1002,3562014096 996,9308463012 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-22 1,1183 1,1167 897,79822 894,214196 1004,007749426 998,5689926732 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-23 1,1158 1,1142 894,318632 890,748498 997,8807295856 992,4719764716 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-29 1,1103 1,1087 905,763386 902,147564 1005,6690874758 1000,2110042068 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-30 1,1168 1,1152 899,485646 895,894884 1004,5455694528 999,1019746368 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-03-31 1,1163 1,1147 904,865089 901,252853 1010,1008988507 1004,6265552391 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-01 1,1173 1,1157 911,566622 907,927634 1018,4933867606 1012,9748612538 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-04 1,1198 1,1182 908,792273 905,164359 1017,6655873054 1012,1547862338 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-05 1,1223 1,1207 913,777951 910,130135 1025,5329944073 1019,9828422945 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-06 1,1243 1,1227 919,722072 916,050526 1034,0435255496 1028,4499255402 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-07 1,1208 1,1192 923,549819 919,862993 1035,1146371352 1029,5106617656 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-08 1,1208 1,1192 928,040708 924,335954 1040,1480255264 1034,5167997168 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-11 1,1203 1,1187 928,335426 924,629496 1040,0141777478 1034,3830171752 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-12 1,1173 1,1157 925,581689 921,886753 1034,1524211197 1028,5490503221 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-13 1,1183 1,1167 931,861871 928,141863 1042,1011303393 1036,4560184121 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-14 1,1153 1,1137 933,764768 930,037164 1041,4278457504 1035,7823895468 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-15 1,1178 1,1162 917,993256 914,328612 1026,1328615568 1020,5735967144 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-18 1,1148 1,1132 899,490604 895,899824 1002,7521253392 997,3156840768 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-19 1,1213 1,1197 904,779628 901,167734 1014,5293968764 1009,0375117598 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-20 1,1218 1,1202 905,627776 902,012496 1015,9332391168 1010,4343980192 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-21 1,1253 1,1237 909,572739 905,94171 1023,5422031967 1018,006699527 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-22 1,1248 1,1232 919,518246 915,847514 1034,2741231008 1028,6799277248 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-25 1,1258 1,1242 922,104625 918,423569 1038,105386825 1032,4917762698 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-26 1,1243 1,1227 915,192833 911,539369 1028,9513021419 1023,3852495763 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-27 1,1253 1,1237 894,068952 890,499814 1006,0957916856 1000,6546409918 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-28 1,1248 1,1232 885,097056 881,563734 995,5571685888 990,1723860288 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-04-29 1,1268 1,1252 882,195162 878,673424 994,0575085416 988,6833366848 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-02 1,1313 1,1297 888,715274 885,167508 1005,4035894762 999,9737337876 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-03 1,1343 1,1327 888,847357 885,299065 1008,2195570451 1002,7782509255 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-04 1,1323 1,1307 891,066265 887,509115 1008,9543318595 1003,5065563305 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-06 1,1313 1,1297 905,677057 902,061579 1024,5924545841 1019,0589657963 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-09 1,1288 1,1272 907,433558 903,811068 1024,3110002704 1018,7758358496 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-10 1,1328 1,1312 903,487685 899,880947 1023,470849568 1017,9453272464 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-11 1,1398 1,1382 898,977172 895,38844 1024,6541806456 1019,131122408 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-12 1,1418 1,1402 904,174622 900,565142 1032,3865833996 1026,8243749084 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-13 1,1373 1,1357 905,794699 902,178753 1030,1603111727 1024,6044097821 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-18 1,1373 1,1357 919,073537 915,404581 1045,2623336301 1039,6249826417 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-19 1,1328 1,1312 922,975607 919,291073 1045,5467676096 1039,9020617776 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-20 1,1338 1,1322 925,233328 921,539782 1049,0295472864 1043,3673411804 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-23 1,1303 1,1287 923,984666 920,296104 1044,3798679798 1038,7382125848 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-24 1,1323 1,1307 925,600152 921,905142 1048,0570521096 1042,3981440594 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-25 1,1353 1,1337 920,758368 917,082686 1045,3369751904 1039,6966411182 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-26 1,1478 1,1462 921,031849 917,355075 1057,1603562822 1051,472386965 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-27 1,1528 1,1512 922,371533 918,689411 1063,3099032424 1057,5952499432 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-30 1,1538 1,1522 924,798081 921,106273 1067,0320258578 1061,2986477506 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-05-31 1,1488 1,1472 918,251455 914,585781 1054,887271504 1049,2128079632 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-01 1,1533 1,1517 925,599685 921,904677 1067,4941167105 1061,7576165009 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-02 1,1563 1,1547 926,359084 922,661044 1071,1490088292 1065,3967075068 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-03 1,1533 1,1517 919,169374 915,500036 1060,0780390342 1054,3813914612 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-07 1,1613 1,1597 924,944713 921,252319 1074,1382952069 1068,3763143443 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-08 1,1593 1,1577 931,286654 927,568942 1079,6406179822 1073,8465641534 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-09 1,1618 1,1602 926,363007 922,664951 1076,2485415326 1070,4758761502 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-10 1,1648 1,1632 929,962272 926,249848 1083,2200544256 1077,4138231936 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-13 1,1778 1,1762 930,391418 926,67728 1095,8150121204 1089,957816736 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-14 1,1823 1,1807 940,180569 936,427353 1111,5754867287 1105,6397756871 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-15 1,1798 1,1782 937,716372 933,972994 1106,3177756856 1100,4069815308 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-16 1,1773 1,1757 941,964821 938,204483 1108,9751837633 1103,0470106631 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-17 1,1798 1,1782 951,544826 947,746244 1122,6325857148 1116,6346246808 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-20 1,1728 1,1712 947,054959 943,274301 1110,7060559152 1104,7628613312 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-21 1,1803 1,1787 950,736961 946,941603 1122,1548350683 1116,1600674561 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-22 1,1773 1,1757 952,283858 948,482326 1121,1237860234 1115,1306706782 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-23 1,1853 1,1837 961,754553 957,915213 1139,9676716709 1133,8842376281 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-27 1,1838 1,1822 945,288062 941,514456 1119,0320077956 1113,0583898832 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-28 1,1833 1,1817 950,818555 947,022873 1125,1035961315 1119,0969290241 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-29 1,1888 1,1872 951,401884 947,603872 1131,0265596992 1124,9953168384 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-06-30 1,1933 1,1917 952,096197 948,295413 1136,1363918801 1130,0836436721 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-01 1,1983 1,1967 952,75087 948,947474 1141,681367521 1135,6054421358 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-04 1,2048 1,2032 957,618583 953,795755 1153,7388687984 1147,607052416 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-05 1,1983 1,1967 963,800218 959,952712 1154,9218012294 1148,7754104504 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-06 1,1918 1,1902 973,008416 969,12415 1159,6314301888 1153,45156333 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-07 1,1883 1,1867 954,796626 950,985062 1134,5848306758 1128,5339730754 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-08 1,1943 1,1927 970,000402 966,128144 1158,4714801086 1152,3010373488 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-11 1,1998 1,1982 978,216347 974,311291 1173,6639731306 1167,4197888762 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-12 1,1983 1,1967 978,427501 974,521603 1172,4496744483 1166,2100023101 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-13 1,1908 1,1892 986,184578 982,247714 1174,3485954824 1168,0889814888 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-14 1,1838 1,1822 988,524896 984,578688 1170,2157718848 1163,9689249536 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-15 1,1823 1,1807 986,838326 982,898852 1166,7389528298 1160,5086745564 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-18 1,1808 1,1792 990,978921 987,022917 1170,1479099168 1163,8974237264 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-19 1,1768 1,1752 995,725914 991,75096 1171,7702555952 1165,505728192 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-20 1,1768 1,1752 982,234289 978,313195 1155,8933112952 1149,713666764 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-21 1,1863 1,1847 977,304482 973,403066 1159,3763069966 1153,1906122902 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-22 1,1868 1,1852 978,647686 974,740908 1161,4590737448 1155,2629241616 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-25 1,1863 1,1847 976,831485 972,931959 1158,8151906555 1152,6324918273 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-26 1,1913 1,1897 974,965046 971,07297 1161,4758592998 1155,285512409 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-27 1,1978 1,1962 982,787321 978,864019 1177,1826530938 1170,9171395278 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-28 1,1928 1,1912 986,513313 982,575137 1176,7130797464 1170,4435031944 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-07-29 1,1883 1,1867 983,083403 979,158919 1168,1980077849 1161,9678891773 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-01 1,1963 1,1947 981,575822 977,657356 1174,2591558586 1168,0072432132 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-02 1,1983 1,1967 989,805341 985,854022 1186,0837401203 1179,7715081274 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-03 1,1933 1,1917 990,351504 986,398004 1181,7864497232 1175,4905013668 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-04 1,1933 1,1917 988,457782 984,511842 1179,5266712606 1173,2427621114 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-05 1,1873 1,1857 988,85841 984,910872 1174,071590193 1167,8088209304 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-08 1,1783 1,1767 996,380298 992,402732 1174,0349051334 1167,7602947444 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-09 1,1818 1,1802 1001,78292 997,783786 1183,907054856 1177,5844242372 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-10 1,1843 1,1827 1008,799445 1004,772301 1194,7211827135 1188,3442003927 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-11 1,1828 1,1812 1003,488093 999,482153 1186,9257164004 1180,5883191236 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-12 1,1793 1,1777 1001,515122 997,517058 1181,0867833746 1174,7758392066 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-15 1,1768 1,1752 1009,188877 1005,160179 1187,6134704536 1181,2642423608 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-16 1,1653 1,1637 1005,203498 1001,19071 1171,3636362194 1165,085629227 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-17 1,1773 1,1757 998,855729 994,868281 1175,9528497517 1169,6666379717 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-18 1,1773 1,1757 1000,80478 996,809552 1178,247467494 1171,9489902864 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-19 1,1748 1,1732 1012,991635 1008,947757 1190,062572798 1183,6975085124 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-22 1,1728 1,1712 1014,993948 1010,942076 1190,3849022144 1184,0153594112 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-23 1,1708 1,1692 1009,371048 1005,341622 1181,7716229984 1175,4454244424 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-24 1,1743 1,1727 998,074258 994,08993 1172,0386011694 1165,769260911 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-25 1,1768 1,1752 986,557466 982,619112 1160,9808259888 1154,7739804224 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-26 1,1773 1,1757 982,745861 978,822723 1156,9867021553 1150,8018754311 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-29 1,1798 1,1782 984,257563 980,328391 1161,2270728274 1155,0229102762 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-30 1,1793 1,1777 987,749221 983,80611 1164,8526563253 1158,628455747 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-08-31 1,1848 1,1832 989,387876 985,438224 1172,2267554848 1165,9705066368 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-01 1,1888 1,1872 991,13671 987,180076 1178,263320848 1171,9801862272 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-02 1,1948 1,1932 990,27802 986,324814 1183,184178296 1176,8827680648 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-05 1,1903 1,1887 995,503386 991,52932 1184,9476803558 1178,630902684 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-06 1,1898 1,1882 1002,211188 998,210344 1192,4308714824 1186,0735307408 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-07 1,1938 1,1922 1000,125203 996,132687 1193,9494673414 1187,5893894414 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-08 1,1988 1,1972 995,391423 991,417805 1193,2752378924 1186,925396146 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-09 1,2008 1,1992 1002,885551 998,882015 1204,2649696408 1197,859312388 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-12 1,1953 1,1937 1009,953783 1005,922031 1207,1977568199 1200,7691284047 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-13 1,1938 1,1922 1009,454234 1005,424476 1205,0864645492 1198,6670602872 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-14 1,1953 1,1937 1011,356018 1007,318668 1208,8738483154 1202,4362939916 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-15 1,2003 1,1987 1009,494687 1005,464769 1211,6964728061 1205,2506186003 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-16 1,2008 1,1992 1011,014072 1006,978088 1214,0256976576 1207,5681231296 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-19 1,1973 1,1957 1015,141297 1011,088837 1215,4286748981 1208,9589224009 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-20 1,2018 1,2002 1014,320852 1010,271666 1219,0107999336 1212,5280535332 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-21 1,1988 1,1972 1009,442071 1005,412363 1210,1191547148 1203,6796809836 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-22 1,2018 1,2002 1009,730838 1005,699976 1213,4945211084 1207,0411111952 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-23 1,2043 1,2027 1006,901635 1002,882067 1212,6116390305 1206,1662619809 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-26 1,1993 1,1977 1016,660211 1012,601687 1219,2805910523 1212,7930405199 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-27 1,2003 1,1987 1017,213519 1013,152787 1220,9613868557 1214,4662457769 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-28 1,2013 1,1997 1025,189424 1021,096852 1231,5600550512 1225,0098933444 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-29 1,2023 1,2007 1029,038622 1024,930684 1237,2131352306 1230,6342722788 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-09-30 1,1918 1,1902 1039,973446 1035,821856 1239,4403529428 1232,8351730112 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-03 1,1798 1,1782 1047,320695 1043,139775 1235,628955961 1229,027282905 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-04 1,1838 1,1822 1049,424139 1045,234821 1242,3082957482 1235,6766053862 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-05 1,1788 1,1772 1038,920666 1034,773278 1224,6796810808 1218,1351028616 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-06 1,1798 1,1782 1022,655828 1018,57337 1206,5293458744 1200,083144534 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-07 1,1828 1,1812 1020,027525 1015,955559 1206,48855657 1200,0467062908 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-10 1,1808 1,1792 1022,265746 1018,184844 1207,0913928768 1200,6435680448 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-11 1,1898 1,1882 1020,933478 1016,857896 1214,7066521244 1208,2305520272 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-12 1,1918 1,1902 1011,577277 1007,539045 1205,5977987286 1199,172971359 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-13 1,2023 1,2007 990,27739 986,324186 1190,610505997 1184,2794501302 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-14 1,2028 1,2012 984,071192 980,142764 1183,6408297376 1177,3474881168 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-17 1,2118 1,2102 985,19759 981,264666 1193,862439562 1187,5264987932 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-18 1,2118 1,2102 976,528974 972,630654 1183,3578106932 1177,0776174708 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-19 1,2103 1,2087 956,88642 953,066514 1158,119634126 1151,9714954718 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-20 1,2173 1,2157 956,494228 952,675888 1164,3404237444 1158,1680770416 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-21 1,2183 1,2167 950,832902 947,037162 1158,3997245066 1152,2601150054 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-24 1,2243 1,2227 966,916047 963,056103 1183,7953163421 1177,5286971381 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-25 1,2203 1,2187 973,335707 969,450135 1187,7615632521 1181,4688795245 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-26 1,2148 1,2132 976,901728 973,00192 1186,7402191744 1180,445929344 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-27 1,2228 1,2212 964,800382 960,948884 1179,7579071096 1173,5107771408 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-28 1,2188 1,2172 961,380978 957,54313 1171,7311359864 1165,521497836 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-10-31 1,2233 1,2217 983,469511 979,543485 1203,0782528063 1196,7082756245 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-01 1,2273 1,2257 982,938448 979,014542 1206,3603572304 1199,9781241294 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-02 1,2338 1,2322 985,447337 981,513415 1215,8449243906 1209,420829963 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-03 1,2398 1,2382 1003,215106 999,210256 1243,7860884188 1237,2221389792 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-04 1,2308 1,2292 1002,238143 998,237193 1233,5547064044 1227,0331576356 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-07 1,2348 1,2332 1003,710797 999,703967 1239,3820921356 1232,8349321044 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-08 1,2298 1,2282 1001,159665 997,163019 1231,226156017 1224,7156199358 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-09 1,2278 1,2262 995,725139 991,750189 1222,5513256642 1216,0840817518 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-10 1,2428 1,2412 991,200218 987,24333 1231,8636309304 1225,366421196 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-11 1,2453 1,2437 1001,548376 997,550178 1247,2281926328 1240,6531563786 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-14 1,2323 1,2307 1009,422421 1005,392791 1243,9112493983 1237,3369078837 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-15 1,2293 1,2277 1002,549943 998,547747 1232,4346449299 1225,9170689919 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-16 1,2298 1,2282 1000,744634 996,749646 1230,7157508932 1224,2079152172 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-17 1,2318 1,2302 1014,064057 1010,015897 1249,1241054126 1242,5215564894 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-18 1,2233 1,2217 1018,734513 1014,667709 1246,2179297529 1239,6195400853 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-21 1,2168 1,2152 1028,233343 1024,128619 1251,1543317624 1244,5210978088 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-22 1,2143 1,2127 1027,23049 1023,12977 1247,365984007 1240,749472079 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-23 1,2093 1,2077 1032,34965 1028,228494 1248,420431745 1241,7915522038 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-24 1,2083 1,2067 1029,078727 1024,970629 1243,4358258341 1236,8320580143 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-25 1,2028 1,2012 1037,100808 1032,960686 1247,4248518624 1240,7923760232 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-28 1,2068 1,2052 1035,830594 1031,695542 1250,0403608392 1243,3994672184 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-29 1,1968 1,1952 1037,752477 1033,609753 1241,9821644736 1235,3703767856 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-11-30 1,1983 1,1967 1035,670364 1031,535952 1241,0437971812 1234,4390737584 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-01 1,1963 1,1947 1056,390399 1052,173271 1263,7598343237 1257,0314068637 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-02 1,1993 1,1977 1063,082572 1058,82873 1274,9549285996 1268,159169921 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-05 1,1908 1,1892 1058,329177 1054,104311 1260,2583839716 1253,5408466412 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-06 1,1948 1,1932 1076,834067 1072,535329 1286,6013432516 1279,7491545628 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-07 1,1833 1,1817 1081,110535 1076,794725 1279,2780960655 1272,4483265325 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-08 1,1848 1,1832 1080,867724 1076,552882 1280,6120793952 1273,7773699824 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-12 1,1888 1,1872 1079,673658 1075,363584 1283,5160446304 1276,6716469248 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-13 1,1853 1,1837 1084,303779 1079,975221 1285,2252692487 1278,3666690977 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-14 1,1888 1,1872 1082,932863 1078,609777 1287,3905875344 1280,5255272544 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-15 1,1868 1,1852 1076,910575 1072,611531 1278,07747041 1271,2591865412 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-16 1,1943 1,1927 1084,565643 1080,236039 1295,2967474349 1288,3975237153 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-19 1,1818 1,1802 1087,281864 1082,941418 1284,9497068752 1278,0874615236 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-20 1,1728 1,1712 1092,967918 1088,604772 1281,8327742304 1274,9739089664 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-21 1,1728 1,1712 1097,731798 1093,349636 1287,4198526944 1280,5310936832 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-22 1,1778 1,1762 1099,834341 1095,443785 1295,3848868298 1288,460979917 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-23 1,1738 1,1722 1107,598252 1103,176702 1300,0988281976 1293,1437300844 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-27 1,1833 1,1817 1106,693636 1102,275698 1309,5505794788 1302,5591923266 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-28 1,1763 1,1747 1111,698502 1107,260584 1307,6909479026 1300,6990080248 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-29 1,1718 1,1702 1113,836096 1109,389644 1305,1931372928 1298,2077614088 155846 DnB NOR Kapitalforvaltning ASA DnB NOR Norden NOK 2005-12-30 1,1768 1,1752 1108,302179 1103,877819 1304,2500042472 1297,2772128888 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-03 1,0958 1,0942 133,887976 132,952631 146,7144441008 145,4767688402 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-04 1,0963 1,0947 134,243419 133,305591 147,1710602497 145,9296304677 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-05 1,0923 1,0907 132,941016 132,012287 145,2114717768 143,9858014309 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-07 1,0978 1,0962 133,226057 132,295336 146,2555653746 145,0221473232 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-10 1,1082 1,1066 133,887363 132,952022 148,3739756766 147,1247075452 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-11 1,1082 1,1066 131,697687 131,039199 145,9473767334 145,0079776134 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-12 1,1038 1,1022 130,643372 129,730694 144,2041540136 142,9891709268 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-13 1,1023 1,1007 130,515918 129,60413 143,8676964114 142,655265891 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-14 1,1073 1,1057 130,842848 129,928777 144,8822855904 143,6622487289 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-17 1,1058 1,1042 131,994504 131,072387 145,9595225232 144,7301297254 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-18 1,1083 1,1067 132,502777 132,2383 146,8528277491 146,34812661 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-19 1,1083 1,1067 131,752362 130,831936 146,0211428046 144,7917035712 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-20 1,1073 1,1057 130,632858 129,720253 144,6497636634 143,4316837421 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-21 1,1038 1,1022 130,051448 129,142905 143,5507883024 142,341309891 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-24 1,1053 1,1037 128,105835 127,210884 141,5953794255 140,4026526708 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-25 1,1063 1,1047 129,527853 128,622967 143,2966637739 142,0897916449 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-26 1,1038 1,1022 130,643387 129,730709 144,2041705706 142,9891874598 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-27 1,0988 1,0972 131,369858 130,452105 144,3491999704 143,132049606 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-28 1,1033 1,1017 131,510986 130,592247 145,0960708538 143,8734785199 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-01-31 1,1028 1,1012 132,481377 131,555858 146,1004625556 144,8693108296 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-01 1,0983 1,0967 133,477454 132,544977 146,5982877282 145,3620762759 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-02 1,0988 1,0972 134,272492 133,334461 147,5386142096 146,2945706092 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-03 1,0983 1,0967 134,719557 133,778403 147,9624894531 146,7147745701 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-04 1,0968 1,0952 138,451533 137,484307 151,8536413944 150,5728130264 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-07 1,0938 1,0922 141,137238 140,151249 154,3759109244 153,0731941578 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-08 1,0898 1,0882 141,596585 140,607387 154,311958333 153,0089585334 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-09 1,0843 1,0827 141,313446 140,326226 153,2261694978 151,9312048902 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-10 1,0848 1,0832 139,261925 138,289037 151,07133624 149,7946848784 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-11 1,0788 1,0772 140,690166 139,7073 151,7765510808 150,49270356 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-14 1,0828 1,0812 139,739806 138,76358 151,3102619368 150,031182696 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-15 1,0833 1,0817 140,539611 139,557798 152,2465605963 150,9596700966 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-16 1,0848 1,0832 139,129894 138,157929 150,9281090112 149,6526686928 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-17 1,0863 1,0847 138,512046 137,544397 150,4656355698 149,1944074259 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-18 1,0943 1,0927 136,759001 135,803599 149,6553747943 148,3925926273 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-21 1,0998 1,0982 136,179147 135,227795 149,7698258706 148,507164469 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-22 1,1028 1,1012 135,107744 134,163878 148,9968200832 147,7412624536 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-23 1,1023 1,1007 134,301859 133,363622 148,0409391757 146,7933387354 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-24 1,1013 1,0997 134,819941 133,878085 148,4772010233 147,2257300745 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-25 1,1018 1,1002 135,934181 134,984541 149,7722806258 148,5099920082 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-02-28 1,0968 1,0952 134,087963 133,15122 147,0676778184 145,827216144 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-01 1,1013 1,0997 135,110953 134,571587 148,7976925389 147,9883742239 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-02 1,1068 1,1052 136,62622 135,671745 151,217900296 149,944412574 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-03 1,1058 1,1042 136,824014 136,27781 151,2999946812 150,477957802 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-04 1,1013 1,0997 136,810695 135,854932 150,6696184035 149,3996687204 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-07 1,1003 1,0987 136,534382 135,989334 150,2287805146 149,4114812658 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-08 1,1033 1,1017 135,029119 134,490081 148,9776269927 148,1677222377 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-09 1,1053 1,1037 134,458222 133,921462 148,6166727766 147,8091176094 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-10 1,1053 1,1037 133,206033 132,674273 147,2326282749 146,4325951101 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-11 1,1113 1,1097 132,872793 132,342363 147,6615348609 146,8603202211 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-14 1,1113 1,1097 133,177221 132,645575 147,9998456973 147,1967945775 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-15 1,1138 1,1122 133,348484 132,816154 148,5235414792 147,7181264788 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-16 1,1128 1,1112 131,139466 130,615956 145,9319977648 145,1404503072 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-17 1,1193 1,1177 131,202497 130,678735 146,8549548921 146,0596221095 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-18 1,1193 1,1177 131,600674 131,075322 147,3006344082 146,5028873994 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-21 1,1218 1,1202 131,017268 130,494244 146,9751712424 146,1796521288 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-22 1,1183 1,1167 131,727965 131,202105 147,3113832595 146,5133906535 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-23 1,1158 1,1142 131,862788 131,33639 147,1324988504 146,335005738 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-29 1,1103 1,1087 132,660788 132,131204 147,2932729164 146,4938658748 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-30 1,1168 1,1152 132,834218 132,304042 148,3492546624 147,5454676384 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-03-31 1,1163 1,1147 133,848589 133,314263 149,4151799007 148,6054089661 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-01 1,1173 1,1157 134,184188 133,648522 149,9239932524 149,1116559954 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-04 1,1198 1,1182 133,73725 133,203368 149,75897255 148,9480060976 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-05 1,1223 1,1207 133,731849 133,197989 150,0872541327 149,2749862723 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-06 1,1243 1,1227 133,540841 133,007743 150,1399675363 149,3277930661 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-07 1,1208 1,1192 134,350702 133,814372 150,5802668016 149,7650451424 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-08 1,1208 1,1192 135,182577 134,642925 151,5126323016 150,69236166 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-11 1,1203 1,1187 134,173654 133,63803 150,3147445762 149,500864161 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-12 1,1173 1,1157 134,819025 134,280825 150,6332966325 149,8171164525 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-13 1,1183 1,1167 135,229571 134,689733 151,2272292493 150,4080248411 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-14 1,1153 1,1137 135,985139 135,442285 151,6642255267 150,8420728045 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-15 1,1178 1,1162 131,905045 131,378477 147,443459301 146,6446560274 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-18 1,1148 1,1132 129,180136 128,664446 144,0100156128 143,2292612872 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-19 1,1213 1,1197 129,932322 129,41363 145,6931126586 144,904441511 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-20 1,1218 1,1202 129,037534 128,522414 144,7543056412 143,9708081628 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-21 1,1253 1,1237 127,44052 126,931776 143,408817156 142,6332366912 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-22 1,1248 1,1232 128,477865 127,964979 144,511902552 143,7302644128 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-25 1,1258 1,1242 128,731179 128,217283 144,9255613182 144,1418695486 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-26 1,1243 1,1227 126,952959 126,446161 142,7332118037 141,9611049547 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-27 1,1253 1,1237 124,133747 123,638203 139,6877054991 138,9322487111 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-28 1,1248 1,1232 123,154186 122,662552 138,5238284128 137,7745784064 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-04-29 1,1268 1,1252 123,186437 122,694675 138,8064772116 138,05604831 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-02 1,1313 1,1297 124,139443 123,643877 140,4389518659 139,6804878469 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-03 1,1343 1,1327 123,562567 123,069303 140,1570197481 139,4005995081 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-04 1,1323 1,1307 124,174076 123,678372 140,6023062548 139,8431352204 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-06 1,1313 1,1297 125,696909 125,195125 142,2009131517 141,4329327125 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-09 1,1288 1,1272 126,531344 126,026228 142,8285811072 142,0567642016 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-10 1,1328 1,1312 124,545671 124,048483 141,0853361088 140,3236439696 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-11 1,1398 1,1382 124,353882 123,85746 141,7385547036 140,974560972 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-12 1,1418 1,1402 126,124874 125,621382 144,0093811332 143,2334997564 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-13 1,1373 1,1357 127,315497 126,807251 144,7959147381 144,0149949607 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-18 1,1373 1,1357 129,104381 128,588995 146,8304125113 146,0385216215 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-19 1,1328 1,1312 130,834535 130,312241 148,209361248 147,4092070192 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-20 1,1338 1,1322 131,741582 131,215668 149,3686056716 148,5623793096 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-23 1,1303 1,1287 132,001752 131,474798 149,2015802856 148,3956045026 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-24 1,1323 1,1307 131,281416 130,757338 148,6499473368 147,8473220766 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-25 1,1353 1,1337 129,606201 129,088811 147,1419199953 146,3479850307 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-26 1,1478 1,1462 129,969558 129,450718 149,1790586724 148,3764129716 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-27 1,1528 1,1512 129,978533 129,459657 149,8392528424 149,0339571384 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-30 1,1538 1,1522 130,755626 130,233648 150,8658412788 150,0552092256 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-05-31 1,1488 1,1472 131,690554 131,164844 151,2861084352 150,4723090368 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-01 1,1533 1,1517 132,449108 131,92037 152,7535562564 151,932690129 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-02 1,1563 1,1547 132,462486 131,933694 153,1663725618 152,3438364618 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-03 1,1533 1,1517 131,000418 130,477462 151,0827820794 150,2708929854 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-07 1,1613 1,1597 131,674908 131,14926 152,9140706604 152,093796822 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-08 1,1593 1,1577 132,587971 132,058677 153,7092347803 152,8843303629 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-09 1,1618 1,1602 132,315433 131,787227 153,7240700594 152,8995407654 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-10 1,1648 1,1632 132,221998 131,694166 154,0121832704 153,1866538912 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-13 1,1778 1,1762 132,66314 132,133546 156,250646292 155,4154768052 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-14 1,1823 1,1807 134,191109 133,655415 158,6541481707 157,8069484905 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-15 1,1798 1,1782 134,362487 133,826109 158,5208621626 157,6739216238 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-16 1,1773 1,1757 135,129668 134,590228 159,0881581364 158,2377310596 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-17 1,1798 1,1782 135,583156 135,041906 159,9610074488 159,1063736492 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-20 1,1728 1,1712 134,630908 134,09346 157,8951289024 157,050260352 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-21 1,1803 1,1787 135,215364 134,675582 159,5946941292 158,7421085034 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-22 1,1773 1,1757 135,315697 134,775515 159,3071700781 158,4555729855 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-23 1,1853 1,1837 135,495002 134,954104 160,6022258706 159,7451729048 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-27 1,1838 1,1822 132,968609 132,437797 157,4082393342 156,5679636134 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-28 1,1833 1,1817 134,082246 133,546988 158,6595216918 157,8124757196 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-29 1,1888 1,1872 133,722876 133,189052 158,9697549888 158,1220425344 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-06-30 1,1933 1,1917 133,577453 133,044209 159,3979746649 158,5487838653 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-01 1,1983 1,1967 134,427352 133,890716 161,0842959016 160,2270198372 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-04 1,2048 1,2032 135,024157 134,485139 162,6771043536 161,8125192448 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-05 1,1983 1,1967 135,67591 135,13429 162,580442953 161,715204843 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-06 1,1918 1,1902 136,817148 136,270972 163,0586769864 162,1897108744 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-07 1,1883 1,1867 134,007213 133,472255 159,2407712079 158,3915250085 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-08 1,1943 1,1927 136,889085 136,342621 163,4866342155 162,6158440667 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-11 1,1998 1,1982 138,92475 138,37016 166,68191505 165,795125712 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-12 1,1983 1,1967 139,490303 138,933455 167,1512300849 166,2616655985 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-13 1,1908 1,1892 140,557323 139,996215 167,3756602284 166,483498878 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-14 1,1838 1,1822 140,373676 139,813302 166,1743576488 165,2872856244 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-15 1,1823 1,1807 140,044839 139,485777 165,5750131497 164,6908569039 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-18 1,1808 1,1792 140,001554 139,442666 165,3138349632 164,4307917472 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-19 1,1768 1,1752 141,962922 141,396204 167,0619666096 166,1688189408 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-20 1,1768 1,1752 141,26978 140,705828 166,246277104 165,3574890656 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-21 1,1863 1,1847 139,423601 138,867019 165,3982178663 164,5157574093 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-22 1,1868 1,1852 140,876533 140,314151 167,1922693644 166,3003317652 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-25 1,1863 1,1847 140,474366 139,91359 166,6447403858 165,755630073 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-26 1,1913 1,1897 140,677777 140,116189 167,5894357401 166,6962300533 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-27 1,1978 1,1962 142,450682 141,882016 170,6274268996 169,7192675392 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-28 1,1928 1,1912 143,380531 142,808153 171,0242973768 170,1130718536 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-07-29 1,1883 1,1867 142,191831 141,624199 168,9665527773 168,0654369533 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-01 1,1963 1,1947 141,533514 140,96851 169,3165427982 168,415078897 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-02 1,1983 1,1967 142,404803 141,83632 170,6436754349 169,735524144 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-03 1,1933 1,1917 142,010246 141,443338 169,4608265518 168,5580258946 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-04 1,1933 1,1917 141,368616 140,80427 168,6951694728 167,796448559 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-05 1,1873 1,1857 140,521352 139,960388 166,8410012296 165,9510320516 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-08 1,1783 1,1767 141,133861 140,570453 166,2980284163 165,4092520451 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-09 1,1818 1,1802 142,913233 142,342721 168,8948587594 167,9928793242 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-10 1,1843 1,1827 143,112975 142,541665 169,4886962925 168,5840271955 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-11 1,1828 1,1812 143,063612 142,4925 169,2156402736 168,312141 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-12 1,1793 1,1777 142,812787 142,242677 168,4191197091 167,5192007029 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-15 1,1768 1,1752 145,07196 144,49283 170,720682528 169,807973816 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-16 1,1653 1,1637 143,486543 142,913743 167,2048685579 166,3087227291 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-17 1,1773 1,1757 143,485231 142,912435 168,9251624563 168,0221498295 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-18 1,1773 1,1757 144,111293 143,535999 169,6622252489 168,7552740243 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-19 1,1748 1,1732 145,159533 144,580053 170,5334193684 169,6213181796 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-22 1,1728 1,1712 145,685188 145,10361 170,8595884864 169,945348032 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-23 1,1708 1,1692 145,192389 144,612778 169,9912490412 169,0812600376 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-24 1,1743 1,1727 143,554233 142,981163 168,5757358119 167,6740098501 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-25 1,1768 1,1752 142,683996 142,1144 167,9105264928 167,01284288 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-26 1,1773 1,1757 142,078637 141,511457 167,2691793401 166,3750199949 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-29 1,1798 1,1782 142,839531 142,269313 168,5220786738 167,6217045766 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-30 1,1793 1,1777 143,14235 142,570923 168,807773355 167,9057760171 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-08-31 1,1848 1,1832 142,763543 142,193629 169,1462457464 168,2435018328 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-01 1,1888 1,1872 142,501897 141,933027 169,4062551536 168,5028896544 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-02 1,1948 1,1932 141,929848 141,363262 169,5777823904 168,6746442184 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-05 1,1903 1,1887 142,690464 142,120842 169,8444592992 168,9390448854 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-06 1,1898 1,1882 144,518301 143,941381 171,9478745298 171,0311489042 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-07 1,1938 1,1922 145,503575 144,922723 173,702167835 172,7768703606 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-08 1,1988 1,1972 145,000398 144,421554 173,8264771224 172,9014844488 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-09 1,2008 1,1992 146,271173 145,687257 175,6424245384 174,7081585944 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-12 1,1953 1,1937 148,272694 147,680788 177,2303511382 176,2865566356 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-13 1,1938 1,1922 147,238002 146,650226 175,7727267876 174,8363994372 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-14 1,1953 1,1937 147,449509 146,860889 176,2463981077 175,3078431993 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-15 1,2003 1,1987 146,910526 146,324056 176,3367043578 175,3986459272 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-16 1,2008 1,1992 147,164657 146,577173 176,7153201256 175,7753458616 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-19 1,1973 1,1957 148,147896 147,556488 177,3774758808 176,4332927016 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-20 1,2018 1,2002 148,678054 148,084528 178,6812852972 177,7310505056 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-21 1,1988 1,1972 147,165147 146,577661 176,4215782236 175,4827757492 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-22 1,2018 1,2002 146,863291 146,27701 176,5003031238 175,561667402 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-23 1,2043 1,2027 147,327631 146,739497 177,4266660133 176,4835930419 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-26 1,1993 1,1977 149,295486 148,699496 179,0500763598 178,0973863592 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-27 1,2003 1,1987 148,298741 147,70673 178,0029788223 177,056057251 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-28 1,2013 1,1997 149,579834 148,982708 179,6902545842 178,7345547876 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-29 1,2023 1,2007 150,570385 149,969306 181,0307738855 180,0681457142 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-09-30 1,1918 1,1902 152,709814 152,100194 181,9995563252 181,0296508988 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-03 1,1798 1,1782 155,283884 154,663988 183,2039263432 182,2251106616 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-04 1,1838 1,1822 154,79918 154,18122 183,251269284 182,273038284 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-05 1,1788 1,1772 151,874841 151,268555 179,0300625708 178,073342946 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-06 1,1798 1,1782 149,167099 148,571621 175,9873434002 175,0470838622 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-07 1,1828 1,1812 150,346636 149,74645 177,8300010608 176,88050674 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-10 1,1808 1,1792 149,480345 148,883617 176,506391376 175,5635611664 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-11 1,1898 1,1882 146,474989 145,890259 174,2759419122 173,3468057438 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-12 1,1918 1,1902 145,060859 144,481773 172,8835317562 171,9622062246 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-13 1,2023 1,2007 142,218545 141,650807 170,9893566535 170,0801239649 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-14 1,2028 1,2012 141,065088 140,501954 169,6730878464 168,7709471448 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-17 1,2118 1,2102 141,95578 141,38909 172,022014204 171,109076718 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-18 1,2118 1,2102 141,436159 140,871543 171,3923374762 170,4827413386 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-19 1,2103 1,2087 139,51835 138,96139 168,859059005 167,962632093 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-20 1,2173 1,2157 140,024946 139,465964 170,4523667658 169,5487724348 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-21 1,2183 1,2167 139,276179 138,720187 169,6801688757 168,7808515229 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-24 1,2243 1,2227 142,82819 142,258018 174,864553017 173,9388786086 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-25 1,2203 1,2187 139,942183 139,383531 170,7714459149 169,8667092297 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-26 1,2148 1,2132 139,001354 138,446458 168,8588448392 167,9632428456 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-27 1,2228 1,2212 136,124471 135,581059 166,4530031388 165,5715892508 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-28 1,2188 1,2172 136,976405 136,429593 166,946842414 166,0621005996 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-10-31 1,2233 1,2217 140,450206 139,889526 171,8127369998 170,9030339142 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-01 1,2273 1,2257 139,013421 138,458477 170,6111715933 169,7085552589 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-02 1,2338 1,2322 139,97292 139,414146 172,698588696 171,7861107012 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-03 1,2398 1,2382 141,683031 141,117431 175,6586218338 174,7316030642 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-04 1,2308 1,2292 142,636179 142,066773 175,5566091132 174,6284773716 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-07 1,2348 1,2332 142,90798 142,33749 176,462773704 175,530592668 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-08 1,2298 1,2282 143,114198 142,542884 176,0018407004 175,0711701288 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-09 1,2278 1,2262 142,505579 141,936695 174,9683498962 174,042775409 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-10 1,2428 1,2412 143,0805 142,50932 177,8204454 176,882567984 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-11 1,2453 1,2437 145,906063 145,323603 181,6968202539 180,7389650511 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-14 1,2323 1,2307 146,244001 145,660193 180,2164824323 179,2639995251 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-15 1,2293 1,2277 145,793116 145,211406 179,2234774988 178,2760431462 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-16 1,2298 1,2282 145,627501 145,046153 179,0927007298 178,1456851146 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-17 1,2318 1,2302 147,947313 147,356705 182,2415001534 181,278218491 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-18 1,2233 1,2217 148,333194 147,741046 181,4559962202 180,4952358982 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-21 1,2168 1,2152 149,511857 148,915003 181,9260275976 180,9615116456 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-22 1,2143 1,2127 149,809133 149,211093 181,9132302019 180,9482924811 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-23 1,2093 1,2077 151,675591 151,070099 183,4212921963 182,4473585623 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-24 1,2083 1,2067 151,559232 150,954206 183,1290200256 182,1564403802 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-25 1,2028 1,2012 152,651335 152,041949 183,609025738 182,6327891388 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-28 1,2068 1,2052 152,682765 152,073253 184,257560802 183,2786845156 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-29 1,1968 1,1952 154,320109 153,704061 184,6903064512 183,7070937072 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-11-30 1,1983 1,1967 154,971422 154,352774 185,7022549826 184,7139646458 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-01 1,1963 1,1947 158,462929 157,830343 189,5692019627 188,5599107821 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-02 1,1993 1,1977 157,591149 156,962043 188,9990649957 187,9934389011 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-05 1,1908 1,1892 157,40956 156,781178 187,443304048 186,4441768776 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-06 1,1948 1,1932 159,598663 158,961543 190,6884825524 189,6729131076 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-07 1,1833 1,1817 159,625459 158,988231 188,8848056347 187,8763925727 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-08 1,1848 1,1832 159,993989 159,355291 189,5608781672 188,5491803112 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-12 1,1888 1,1872 160,82917 160,187138 191,193717296 190,1741702336 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-13 1,1853 1,1837 161,398582 160,754276 191,3057392446 190,2848365012 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-14 1,1888 1,1872 162,008613 161,361873 192,5958391344 191,5688156256 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-15 1,1868 1,1852 162,223569 161,575969 192,5269316892 191,4998384588 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-16 1,1943 1,1927 161,502697 160,857975 192,8826710271 191,8553067825 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-19 1,1818 1,1802 162,097758 161,450662 191,5671304044 190,5440712924 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-20 1,1728 1,1712 164,625143 163,967957 193,0723677104 192,0392712384 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-21 1,1728 1,1712 167,47643 166,807862 196,416357104 195,3653679744 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-22 1,1778 1,1762 167,613889 166,944771 197,4156384642 196,3604396502 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-23 1,1738 1,1722 168,960277 168,285785 198,3255731426 197,264597177 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-27 1,1833 1,1817 169,075012 168,400062 200,0664616996 198,9983532654 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-28 1,1763 1,1747 169,426965 168,750609 199,2969389295 198,2313403923 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-29 1,1718 1,1702 169,259837 168,584149 198,3386769966 197,2771711598 191676 DnB NOR Kapitalforvaltning ASA DnB NOR Nordic Technology NOK 2005-12-30 1,1768 1,1752 169,029754 168,354984 198,9142145072 197,8507771968 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-01-03 1 1 11,48 11,48 11,48 11,48 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-01-04 1 1 11,64 11,64 11,64 11,64 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-01-05 1 1 11,65 11,65 11,65 11,65 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-01-07 1 1 11,94 11,94 11,94 11,94 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SEK 2005-04-25 1 1 13,91 13,91 13,91 13,91 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-04-26 1 1 13,89 13,89 13,89 13,89 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-04-27 1 1 13,8 13,8 13,8 13,8 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-04-28 1 1 13,7 13,7 13,7 13,7 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-04-29 1 1 13,69 13,69 13,69 13,69 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-02 1 1 13,83 13,83 13,83 13,83 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-03 1 1 13,85 13,85 13,85 13,85 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-04 1 1 13,92 13,92 13,92 13,92 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-06 1 1 14 14 14 14 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-09 1 1 13,97 13,97 13,97 13,97 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-10 1 1 13,88 13,88 13,88 13,88 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-11 1 1 13,83 13,83 13,83 13,83 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-12 1 1 13,89 13,89 13,89 13,89 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-13 1 1 13,93 13,93 13,93 13,93 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-16 1 1 13,95 13,95 13,95 13,95 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-17 1 1 13,96 13,96 13,96 13,96 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-18 1 1 13,98 13,98 13,98 13,98 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-19 1 1 14,04 14,04 14,04 14,04 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-20 1 1 14,05 14,05 14,05 14,05 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-23 1 1 13,88 13,88 13,88 13,88 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-24 1 1 13,78 13,78 13,78 13,78 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-25 1 1 13,75 13,75 13,75 13,75 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-26 1 1 13,82 13,82 13,82 13,82 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-27 1 1 13,88 13,88 13,88 13,88 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-30 1 1 13,97 13,97 13,97 13,97 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-05-31 1 1 13,92 13,92 13,92 13,92 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-06-01 1 1 13,98 13,98 13,98 13,98 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-06-02 1 1 14,06 14,06 14,06 14,06 872382 East Capital Asset 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Balkanfonden SEK 2005-06-17 1 1 14,56 14,56 14,56 14,56 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-06-20 1 1 14,57 14,57 14,57 14,57 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-06-21 1 1 14,63 14,63 14,63 14,63 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-06-22 1 1 14,73 14,73 14,73 14,73 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-06-23 1 1 15,03 15,03 15,03 15,03 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-06-27 1 1 14,92 14,92 14,92 14,92 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-06-28 1 1 15,21 15,21 15,21 15,21 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-06-29 1 1 15,54 15,54 15,54 15,54 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-06-30 1 1 15,55 15,55 15,55 15,55 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-01 1 1 15,67 15,67 15,67 15,67 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-04 1 1 15,72 15,72 15,72 15,72 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-05 1 1 15,61 15,61 15,61 15,61 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-06 1 1 15,67 15,67 15,67 15,67 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-07 1 1 15,75 15,75 15,75 15,75 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-08 1 1 15,81 15,81 15,81 15,81 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-11 1 1 15,81 15,81 15,81 15,81 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-12 1 1 15,68 15,68 15,68 15,68 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-13 1 1 15,73 15,73 15,73 15,73 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-14 1 1 15,79 15,79 15,79 15,79 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-15 1 1 15,81 15,81 15,81 15,81 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-18 1 1 15,76 15,76 15,76 15,76 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-19 1 1 15,88 15,88 15,88 15,88 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-20 1 1 15,85 15,85 15,85 15,85 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-21 1 1 15,91 15,91 15,91 15,91 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-22 1 1 15,93 15,93 15,93 15,93 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-25 1 1 15,96 15,96 15,96 15,96 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-26 1 1 15,99 15,99 15,99 15,99 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-27 1 1 16,05 16,05 16,05 16,05 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-28 1 1 16,01 16,01 16,01 16,01 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-07-29 1 1 16,12 16,12 16,12 16,12 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-01 1 1 16,13 16,13 16,13 16,13 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-02 1 1 16,16 16,16 16,16 16,16 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-03 1 1 16,2 16,2 16,2 16,2 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-04 1 1 16,3 16,3 16,3 16,3 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-05 1 1 16,28 16,28 16,28 16,28 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-08 1 1 16,25 16,25 16,25 16,25 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-09 1 1 16,27 16,27 16,27 16,27 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-10 1 1 16,27 16,27 16,27 16,27 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-11 1 1 16,09 16,09 16,09 16,09 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-12 1 1 15,79 15,79 15,79 15,79 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-15 1 1 15,8 15,8 15,8 15,8 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-16 1 1 15,88 15,88 15,88 15,88 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-17 1 1 15,75 15,75 15,75 15,75 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-18 1 1 15,82 15,82 15,82 15,82 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-19 1 1 15,93 15,93 15,93 15,93 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-22 1 1 16,03 16,03 16,03 16,03 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-23 1 1 16,04 16,04 16,04 16,04 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-24 1 1 15,98 15,98 15,98 15,98 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-25 1 1 16,02 16,02 16,02 16,02 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-26 1 1 16,01 16,01 16,01 16,01 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-29 1 1 16,06 16,06 16,06 16,06 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-30 1 1 16,15 16,15 16,15 16,15 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-08-31 1 1 16,28 16,28 16,28 16,28 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-01 1 1 16,34 16,34 16,34 16,34 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-02 1 1 16,23 16,23 16,23 16,23 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-05 1 1 16,32 16,32 16,32 16,32 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-06 1 1 16,38 16,38 16,38 16,38 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-07 1 1 16,35 16,35 16,35 16,35 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-08 1 1 16,5 16,5 16,5 16,5 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-09 1 1 16,57 16,57 16,57 16,57 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-12 1 1 16,72 16,72 16,72 16,72 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-13 1 1 16,73 16,73 16,73 16,73 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-14 1 1 16,7 16,7 16,7 16,7 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-15 1 1 16,98 16,98 16,98 16,98 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-16 1 1 16,97 16,97 16,97 16,97 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-19 1 1 17,11 17,11 17,11 17,11 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-20 1 1 17,26 17,26 17,26 17,26 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-21 1 1 17,17 17,17 17,17 17,17 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-22 1 1 17,2 17,2 17,2 17,2 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-23 1 1 17,28 17,28 17,28 17,28 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-26 1 1 17,46 17,46 17,46 17,46 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-27 1 1 17,43 17,43 17,43 17,43 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-28 1 1 17,37 17,37 17,37 17,37 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-29 1 1 17,44 17,44 17,44 17,44 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-09-30 1 1 17,34 17,34 17,34 17,34 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-03 1 1 17,66 17,66 17,66 17,66 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-04 1 1 17,86 17,86 17,86 17,86 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-05 1 1 17,76 17,76 17,76 17,76 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-06 1 1 17,48 17,48 17,48 17,48 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-07 1 1 17,6 17,6 17,6 17,6 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-10 1 1 17,71 17,71 17,71 17,71 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-11 1 1 17,82 17,82 17,82 17,82 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-12 1 1 17,68 17,68 17,68 17,68 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-13 1 1 17,54 17,54 17,54 17,54 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-14 1 1 17,35 17,35 17,35 17,35 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-17 1 1 17,47 17,47 17,47 17,47 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-18 1 1 17,49 17,49 17,49 17,49 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-19 1 1 17,15 17,15 17,15 17,15 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-20 1 1 17,21 17,21 17,21 17,21 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-21 1 1 17,17 17,17 17,17 17,17 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-24 1 1 17,38 17,38 17,38 17,38 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-25 1 1 17,27 17,27 17,27 17,27 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-26 1 1 17,28 17,28 17,28 17,28 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-27 1 1 17,23 17,23 17,23 17,23 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-28 1 1 17,12 17,12 17,12 17,12 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-10-31 1 1 17,32 17,32 17,32 17,32 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-01 1 1 17,5 17,5 17,5 17,5 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-02 1 1 17,7 17,7 17,7 17,7 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-03 1 1 17,75 17,75 17,75 17,75 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-04 1 1 17,76 17,76 17,76 17,76 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-07 1 1 18 18 18 18 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-08 1 1 17,85 17,85 17,85 17,85 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-09 1 1 17,9 17,9 17,9 17,9 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-10 1 1 18,08 18,08 18,08 18,08 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-11 1 1 17,91 17,91 17,91 17,91 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-14 1 1 17,87 17,87 17,87 17,87 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-15 1 1 18,01 18,01 18,01 18,01 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-16 1 1 18,17 18,17 18,17 18,17 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-17 1 1 18,22 18,22 18,22 18,22 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-18 1 1 18,16 18,16 18,16 18,16 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-21 1 1 18,15 18,15 18,15 18,15 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-22 1 1 18,2 18,2 18,2 18,2 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-23 1 1 18,26 18,26 18,26 18,26 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-24 1 1 18,33 18,33 18,33 18,33 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-25 1 1 18,33 18,33 18,33 18,33 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-28 1 1 18,3 18,3 18,3 18,3 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-29 1 1 18,59 18,59 18,59 18,59 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-11-30 1 1 18,67 18,67 18,67 18,67 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-01 1 1 18,75 18,75 18,75 18,75 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-02 1 1 18,7 18,7 18,7 18,7 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-05 1 1 18,67 18,67 18,67 18,67 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-06 1 1 18,55 18,55 18,55 18,55 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-07 1 1 18,52 18,52 18,52 18,52 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-08 1 1 18,51 18,51 18,51 18,51 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-12 1 1 18,48 18,48 18,48 18,48 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-13 1 1 18,49 18,49 18,49 18,49 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-14 1 1 18,46 18,46 18,46 18,46 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-15 1 1 18,41 18,41 18,41 18,41 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-16 1 1 18,5 18,5 18,5 18,5 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-19 1 1 18,58 18,58 18,58 18,58 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-20 1 1 18,61 18,61 18,61 18,61 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-21 1 1 18,8 18,8 18,8 18,8 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-22 1 1 18,86 18,86 18,86 18,86 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-23 1 1 19,12 19,12 19,12 19,12 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-27 1 1 19,17 19,17 19,17 19,17 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-28 1 1 19,06 19,06 19,06 19,06 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-29 1 1 19,29 19,29 19,29 19,29 872382 East Capital Asset Management AB East Capital Balkanfonden SEK 2005-12-30 1 1 19,32 19,32 19,32 19,32 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-03 1 1 44,71 44,71 44,71 44,71 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-04 1 1 45,51 45,51 45,51 45,51 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-05 1 1 46,13 46,13 46,13 46,13 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-07 1 1 45,91 45,91 45,91 45,91 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-10 1 1 46,1 46,1 46,1 46,1 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-11 1 1 45,96 45,96 45,96 45,96 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-12 1 1 46,12 46,12 46,12 46,12 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-13 1 1 46 46 46 46 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-14 1 1 45,99 45,99 45,99 45,99 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-17 1 1 46 46 46 46 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-18 1 1 46,11 46,11 46,11 46,11 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-19 1 1 46,29 46,29 46,29 46,29 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-20 1 1 46,46 46,46 46,46 46,46 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-21 1 1 46,52 46,52 46,52 46,52 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-24 1 1 46,5 46,5 46,5 46,5 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-25 1 1 46,59 46,59 46,59 46,59 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-26 1 1 46,75 46,75 46,75 46,75 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-27 1 1 46,52 46,52 46,52 46,52 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-28 1 1 46,64 46,64 46,64 46,64 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-01-31 1 1 46,91 46,91 46,91 46,91 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-01 1 1 46,78 46,78 46,78 46,78 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-02 1 1 46,76 46,76 46,76 46,76 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-03 1 1 46,89 46,89 46,89 46,89 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-04 1 1 47,03 47,03 47,03 47,03 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-07 1 1 47,04 47,04 47,04 47,04 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-08 1 1 47,18 47,18 47,18 47,18 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-09 1 1 47,23 47,23 47,23 47,23 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-10 1 1 47,78 47,78 47,78 47,78 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-11 1 1 48,39 48,39 48,39 48,39 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-14 1 1 48,39 48,39 48,39 48,39 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-15 1 1 48,45 48,45 48,45 48,45 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-16 1 1 48,66 48,66 48,66 48,66 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-17 1 1 49,07 49,07 49,07 49,07 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-18 1 1 49,27 49,27 49,27 49,27 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-21 1 1 49,77 49,77 49,77 49,77 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-22 1 1 49,85 49,85 49,85 49,85 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-23 1 1 49,78 49,78 49,78 49,78 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-24 1 1 49,73 49,73 49,73 49,73 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-25 1 1 49,94 49,94 49,94 49,94 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-02-28 1 1 49,87 49,87 49,87 49,87 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-01 1 1 49,91 49,91 49,91 49,91 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-02 1 1 50,1 50,1 50,1 50,1 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-03 1 1 49,92 49,92 49,92 49,92 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-04 1 1 50,18 50,18 50,18 50,18 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-07 1 1 50,39 50,39 50,39 50,39 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-08 1 1 50,57 50,57 50,57 50,57 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-09 1 1 50,76 50,76 50,76 50,76 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-10 1 1 51,03 51,03 51,03 51,03 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-11 1 1 51,08 51,08 51,08 51,08 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-14 1 1 52,02 52,02 52,02 52,02 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-15 1 1 51,87 51,87 51,87 51,87 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-16 1 1 51,89 51,89 51,89 51,89 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-17 1 1 51,81 51,81 51,81 51,81 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-18 1 1 51,79 51,79 51,79 51,79 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-21 1 1 51,96 51,96 51,96 51,96 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-22 1 1 52,32 52,32 52,32 52,32 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-23 1 1 52,52 52,52 52,52 52,52 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-24 1 1 52,91 52,91 52,91 52,91 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-29 1 1 53,1 53,1 53,1 53,1 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-30 1 1 53,23 53,23 53,23 53,23 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-03-31 1 1 53,37 53,37 53,37 53,37 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-01 1 1 53,43 53,43 53,43 53,43 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-04 1 1 53,48 53,48 53,48 53,48 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-05 1 1 53,8 53,8 53,8 53,8 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-06 1 1 53,94 53,94 53,94 53,94 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-07 1 1 54,33 54,33 54,33 54,33 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-08 1 1 54,61 54,61 54,61 54,61 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-11 1 1 54,73 54,73 54,73 54,73 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-12 1 1 54,79 54,79 54,79 54,79 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-13 1 1 54,97 54,97 54,97 54,97 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-14 1 1 55 55 55 55 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-15 1 1 55,04 55,04 55,04 55,04 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-18 1 1 54,73 54,73 54,73 54,73 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-19 1 1 54,77 54,77 54,77 54,77 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-20 1 1 54,73 54,73 54,73 54,73 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-21 1 1 54,75 54,75 54,75 54,75 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-22 1 1 54,72 54,72 54,72 54,72 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-25 1 1 54,59 54,59 54,59 54,59 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-26 1 1 54,74 54,74 54,74 54,74 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-27 1 1 54,79 54,79 54,79 54,79 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-28 1 1 54,9 54,9 54,9 54,9 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-04-29 1 1 55,1 55,1 55,1 55,1 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-02 1 1 55,16 55,16 55,16 55,16 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-03 1 1 55,02 55,02 55,02 55,02 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-04 1 1 54,88 54,88 54,88 54,88 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-06 1 1 54,96 54,96 54,96 54,96 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-09 1 1 54,97 54,97 54,97 54,97 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-10 1 1 55,09 55,09 55,09 55,09 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-11 1 1 54,67 54,67 54,67 54,67 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-12 1 1 54,95 54,95 54,95 54,95 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-13 1 1 54,97 54,97 54,97 54,97 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-16 1 1 55,04 55,04 55,04 55,04 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-17 1 1 54,97 54,97 54,97 54,97 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-18 1 1 55,01 55,01 55,01 55,01 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-19 1 1 55,11 55,11 55,11 55,11 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-20 1 1 55,03 55,03 55,03 55,03 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-23 1 1 54,73 54,73 54,73 54,73 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-24 1 1 54,74 54,74 54,74 54,74 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-25 1 1 54,72 54,72 54,72 54,72 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-26 1 1 54,79 54,79 54,79 54,79 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-27 1 1 54,57 54,57 54,57 54,57 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-30 1 1 54,71 54,71 54,71 54,71 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-05-31 1 1 56,07 56,07 56,07 56,07 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-01 1 1 56,15 56,15 56,15 56,15 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-02 1 1 56,27 56,27 56,27 56,27 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-03 1 1 56,58 56,58 56,58 56,58 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-07 1 1 56,93 56,93 56,93 56,93 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-08 1 1 57,09 57,09 57,09 57,09 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-09 1 1 57,17 57,17 57,17 57,17 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-10 1 1 57,18 57,18 57,18 57,18 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-13 1 1 57,33 57,33 57,33 57,33 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-14 1 1 57,41 57,41 57,41 57,41 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-15 1 1 57,26 57,26 57,26 57,26 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-16 1 1 57,15 57,15 57,15 57,15 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-17 1 1 57,2 57,2 57,2 57,2 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-20 1 1 57,14 57,14 57,14 57,14 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-21 1 1 57,27 57,27 57,27 57,27 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-22 1 1 57,64 57,64 57,64 57,64 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-23 1 1 57,96 57,96 57,96 57,96 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-27 1 1 58,09 58,09 58,09 58,09 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-28 1 1 58,29 58,29 58,29 58,29 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-29 1 1 58,53 58,53 58,53 58,53 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-06-30 1 1 58,56 58,56 58,56 58,56 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-01 1 1 58,45 58,45 58,45 58,45 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-04 1 1 58,4 58,4 58,4 58,4 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-05 1 1 58,21 58,21 58,21 58,21 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-06 1 1 58,02 58,02 58,02 58,02 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-07 1 1 58,09 58,09 58,09 58,09 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-08 1 1 58,36 58,36 58,36 58,36 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-11 1 1 58,48 58,48 58,48 58,48 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-12 1 1 58,3 58,3 58,3 58,3 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-13 1 1 58,36 58,36 58,36 58,36 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-14 1 1 58,48 58,48 58,48 58,48 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-15 1 1 58,46 58,46 58,46 58,46 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-18 1 1 58,02 58,02 58,02 58,02 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-19 1 1 58,41 58,41 58,41 58,41 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-20 1 1 58,6 58,6 58,6 58,6 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-21 1 1 58,87 58,87 58,87 58,87 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-22 1 1 59,03 59,03 59,03 59,03 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-25 1 1 58,98 58,98 58,98 58,98 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-26 1 1 59,43 59,43 59,43 59,43 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-27 1 1 59,51 59,51 59,51 59,51 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-28 1 1 59,49 59,49 59,49 59,49 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-07-29 1 1 59,63 59,63 59,63 59,63 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-01 1 1 59,58 59,58 59,58 59,58 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-02 1 1 59,57 59,57 59,57 59,57 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-03 1 1 59,57 59,57 59,57 59,57 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-04 1 1 59,3 59,3 59,3 59,3 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-05 1 1 59,28 59,28 59,28 59,28 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-08 1 1 59,47 59,47 59,47 59,47 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-09 1 1 59,62 59,62 59,62 59,62 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-10 1 1 59,68 59,68 59,68 59,68 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-11 1 1 59,64 59,64 59,64 59,64 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-12 1 1 59,85 59,85 59,85 59,85 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-15 1 1 59,69 59,69 59,69 59,69 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-16 1 1 59,97 59,97 59,97 59,97 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-17 1 1 60,19 60,19 60,19 60,19 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-18 1 1 60,68 60,68 60,68 60,68 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-19 1 1 61,31 61,31 61,31 61,31 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-22 1 1 61,37 61,37 61,37 61,37 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-23 1 1 61,86 61,86 61,86 61,86 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-24 1 1 61,47 61,47 61,47 61,47 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-25 1 1 61,55 61,55 61,55 61,55 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-26 1 1 61,72 61,72 61,72 61,72 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-29 1 1 61,98 61,98 61,98 61,98 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-30 1 1 61,97 61,97 61,97 61,97 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-08-31 1 1 61,86 61,86 61,86 61,86 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-01 1 1 62,08 62,08 62,08 62,08 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-02 1 1 62,16 62,16 62,16 62,16 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-05 1 1 62,56 62,56 62,56 62,56 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-06 1 1 62,6 62,6 62,6 62,6 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-07 1 1 62,94 62,94 62,94 62,94 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-08 1 1 63,23 63,23 63,23 63,23 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-09 1 1 63,36 63,36 63,36 63,36 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-12 1 1 63,43 63,43 63,43 63,43 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-13 1 1 63,58 63,58 63,58 63,58 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-14 1 1 63,94 63,94 63,94 63,94 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-15 1 1 64,22 64,22 64,22 64,22 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-16 1 1 64,33 64,33 64,33 64,33 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-19 1 1 64,53 64,53 64,53 64,53 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-20 1 1 64,68 64,68 64,68 64,68 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-21 1 1 64,6 64,6 64,6 64,6 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-22 1 1 64,92 64,92 64,92 64,92 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-23 1 1 65,41 65,41 65,41 65,41 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-26 1 1 65,52 65,52 65,52 65,52 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-27 1 1 65,74 65,74 65,74 65,74 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-28 1 1 65,87 65,87 65,87 65,87 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-29 1 1 65,97 65,97 65,97 65,97 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-09-30 1 1 65,81 65,81 65,81 65,81 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-03 1 1 66,15 66,15 66,15 66,15 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-04 1 1 66,08 66,08 66,08 66,08 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-05 1 1 66,03 66,03 66,03 66,03 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-06 1 1 65,8 65,8 65,8 65,8 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-07 1 1 65,6 65,6 65,6 65,6 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-10 1 1 65,77 65,77 65,77 65,77 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-11 1 1 65,83 65,83 65,83 65,83 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-12 1 1 65,57 65,57 65,57 65,57 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-13 1 1 65,36 65,36 65,36 65,36 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-14 1 1 65,53 65,53 65,53 65,53 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-17 1 1 65,6 65,6 65,6 65,6 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-18 1 1 65,31 65,31 65,31 65,31 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-19 1 1 65,21 65,21 65,21 65,21 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-20 1 1 65,2 65,2 65,2 65,2 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-21 1 1 64,84 64,84 64,84 64,84 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-24 1 1 64,95 64,95 64,95 64,95 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-25 1 1 64,78 64,78 64,78 64,78 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-26 1 1 64,87 64,87 64,87 64,87 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-27 1 1 64,77 64,77 64,77 64,77 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-28 1 1 64,69 64,69 64,69 64,69 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-10-31 1 1 64,77 64,77 64,77 64,77 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-01 1 1 66,05 66,05 66,05 66,05 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-02 1 1 65,89 65,89 65,89 65,89 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-03 1 1 66,38 66,38 66,38 66,38 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-04 1 1 66,63 66,63 66,63 66,63 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-07 1 1 66,82 66,82 66,82 66,82 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-08 1 1 66,45 66,45 66,45 66,45 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-09 1 1 66,98 66,98 66,98 66,98 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-10 1 1 67,34 67,34 67,34 67,34 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-11 1 1 66,87 66,87 66,87 66,87 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-14 1 1 67,13 67,13 67,13 67,13 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-15 1 1 67,4 67,4 67,4 67,4 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-16 1 1 67,33 67,33 67,33 67,33 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-17 1 1 67,39 67,39 67,39 67,39 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-18 1 1 67,12 67,12 67,12 67,12 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-21 1 1 66,58 66,58 66,58 66,58 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-22 1 1 66,35 66,35 66,35 66,35 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-23 1 1 66,05 66,05 66,05 66,05 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-24 1 1 66,01 66,01 66,01 66,01 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-25 1 1 65,58 65,58 65,58 65,58 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-28 1 1 65 65 65 65 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-29 1 1 65,1 65,1 65,1 65,1 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-11-30 1 1 64,85 64,85 64,85 64,85 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-01 1 1 65,29 65,29 65,29 65,29 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-02 1 1 65,59 65,59 65,59 65,59 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-05 1 1 65,56 65,56 65,56 65,56 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-06 1 1 65,09 65,09 65,09 65,09 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-07 1 1 65,19 65,19 65,19 65,19 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-08 1 1 65,23 65,23 65,23 65,23 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-12 1 1 65,77 65,77 65,77 65,77 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-13 1 1 65,6 65,6 65,6 65,6 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-14 1 1 65,4 65,4 65,4 65,4 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-15 1 1 65,4 65,4 65,4 65,4 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-16 1 1 65,53 65,53 65,53 65,53 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-19 1 1 65,28 65,28 65,28 65,28 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-20 1 1 65,1 65,1 65,1 65,1 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-21 1 1 65,3 65,3 65,3 65,3 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-22 1 1 65,82 65,82 65,82 65,82 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-23 1 1 65,89 65,89 65,89 65,89 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-27 1 1 66,11 66,11 66,11 66,11 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-28 1 1 65,77 65,77 65,77 65,77 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-29 1 1 65,92 65,92 65,92 65,92 552984 East Capital Asset Management AB East Capital Baltikumfonden SEK 2005-12-30 1 1 65,97 65,97 65,97 65,97 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-03 1 1 469,27 469,27 469,27 469,27 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-04 1 1 472,83 472,83 472,83 472,83 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-05 1 1 476,8 476,8 476,8 476,8 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-07 1 1 476,92 476,92 476,92 476,92 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-10 1 1 481,57 481,57 481,57 481,57 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-11 1 1 473 473 473 473 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-12 1 1 469,46 469,46 469,46 469,46 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-13 1 1 470,97 470,97 470,97 470,97 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-14 1 1 477,27 477,27 477,27 477,27 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-17 1 1 480,89 480,89 480,89 480,89 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-18 1 1 477,83 477,83 477,83 477,83 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-19 1 1 475,33 475,33 475,33 475,33 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-20 1 1 476,42 476,42 476,42 476,42 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-21 1 1 479,69 479,69 479,69 479,69 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-24 1 1 482,09 482,09 482,09 482,09 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-25 1 1 489,64 489,64 489,64 489,64 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-26 1 1 486,48 486,48 486,48 486,48 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-27 1 1 493,26 493,26 493,26 493,26 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-28 1 1 498,9 498,9 498,9 498,9 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-01-31 1 1 508,58 508,58 508,58 508,58 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-01 1 1 510,3 510,3 510,3 510,3 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-02 1 1 517,58 517,58 517,58 517,58 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-03 1 1 521,35 521,35 521,35 521,35 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-04 1 1 524,3 524,3 524,3 524,3 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-07 1 1 531,79 531,79 531,79 531,79 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-08 1 1 534,51 534,51 534,51 534,51 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-09 1 1 533 533 533 533 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-10 1 1 528,58 528,58 528,58 528,58 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-11 1 1 529,89 529,89 529,89 529,89 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-14 1 1 528,44 528,44 528,44 528,44 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-15 1 1 529,29 529,29 529,29 529,29 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-16 1 1 529,43 529,43 529,43 529,43 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-17 1 1 531,92 531,92 531,92 531,92 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-18 1 1 533,36 533,36 533,36 533,36 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-21 1 1 536,39 536,39 536,39 536,39 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-22 1 1 530,19 530,19 530,19 530,19 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-23 1 1 530,77 530,77 530,77 530,77 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-24 1 1 534,56 534,56 534,56 534,56 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-25 1 1 545,64 545,64 545,64 545,64 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-02-28 1 1 551,27 551,27 551,27 551,27 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-01 1 1 550,45 550,45 550,45 550,45 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-02 1 1 552,29 552,29 552,29 552,29 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-03 1 1 551,46 551,46 551,46 551,46 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-04 1 1 548,54 548,54 548,54 548,54 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-07 1 1 549,15 549,15 549,15 549,15 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-08 1 1 544,54 544,54 544,54 544,54 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-09 1 1 546,29 546,29 546,29 546,29 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-10 1 1 539,92 539,92 539,92 539,92 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-11 1 1 539,01 539,01 539,01 539,01 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-14 1 1 540,2 540,2 540,2 540,2 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-15 1 1 541,45 541,45 541,45 541,45 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-16 1 1 529,03 529,03 529,03 529,03 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-17 1 1 530,17 530,17 530,17 530,17 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-18 1 1 534,52 534,52 534,52 534,52 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-21 1 1 535,19 535,19 535,19 535,19 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-22 1 1 535,51 535,51 535,51 535,51 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-23 1 1 534,5 534,5 534,5 534,5 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-24 1 1 537,25 537,25 537,25 537,25 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-29 1 1 542,49 542,49 542,49 542,49 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-30 1 1 533,28 533,28 533,28 533,28 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-03-31 1 1 537,46 537,46 537,46 537,46 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-01 1 1 541,63 541,63 541,63 541,63 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-04 1 1 551,14 551,14 551,14 551,14 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-05 1 1 551,47 551,47 551,47 551,47 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-06 1 1 555,42 555,42 555,42 555,42 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-07 1 1 556,66 556,66 556,66 556,66 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-08 1 1 564,42 564,42 564,42 564,42 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-11 1 1 549,93 549,93 549,93 549,93 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-12 1 1 550,78 550,78 550,78 550,78 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-13 1 1 553,06 553,06 553,06 553,06 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-14 1 1 552,06 552,06 552,06 552,06 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-15 1 1 544,74 544,74 544,74 544,74 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-18 1 1 536,47 536,47 536,47 536,47 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-19 1 1 537,76 537,76 537,76 537,76 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-20 1 1 537,02 537,02 537,02 537,02 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-21 1 1 536,16 536,16 536,16 536,16 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-22 1 1 536,92 536,92 536,92 536,92 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-25 1 1 539,44 539,44 539,44 539,44 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-26 1 1 537,57 537,57 537,57 537,57 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-27 1 1 531,89 531,89 531,89 531,89 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-28 1 1 532,11 532,11 532,11 532,11 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-04-29 1 1 534,84 534,84 534,84 534,84 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-02 1 1 538,47 538,47 538,47 538,47 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-03 1 1 536,55 536,55 536,55 536,55 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-04 1 1 532,7 532,7 532,7 532,7 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-06 1 1 538,43 538,43 538,43 538,43 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-09 1 1 536,81 536,81 536,81 536,81 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-10 1 1 536,85 536,85 536,85 536,85 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-11 1 1 536,79 536,79 536,79 536,79 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-12 1 1 536,06 536,06 536,06 536,06 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-13 1 1 534,7 534,7 534,7 534,7 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-16 1 1 530,1 530,1 530,1 530,1 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-17 1 1 528,78 528,78 528,78 528,78 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-18 1 1 534,09 534,09 534,09 534,09 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-19 1 1 535,43 535,43 535,43 535,43 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-20 1 1 538,06 538,06 538,06 538,06 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-23 1 1 537,48 537,48 537,48 537,48 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-24 1 1 544,21 544,21 544,21 544,21 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-25 1 1 542,75 542,75 542,75 542,75 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-26 1 1 549,1 549,1 549,1 549,1 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-27 1 1 549,47 549,47 549,47 549,47 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-30 1 1 551,88 551,88 551,88 551,88 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-05-31 1 1 561 561 561 561 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-01 1 1 563,41 563,41 563,41 563,41 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-02 1 1 567,13 567,13 567,13 567,13 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-03 1 1 568,17 568,17 568,17 568,17 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-07 1 1 564,89 564,89 564,89 564,89 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-08 1 1 565,76 565,76 565,76 565,76 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-09 1 1 570,23 570,23 570,23 570,23 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-10 1 1 576,74 576,74 576,74 576,74 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-13 1 1 585,83 585,83 585,83 585,83 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-14 1 1 588,13 588,13 588,13 588,13 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-15 1 1 586,86 586,86 586,86 586,86 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-16 1 1 586,15 586,15 586,15 586,15 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-17 1 1 582,17 582,17 582,17 582,17 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-20 1 1 583,9 583,9 583,9 583,9 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-21 1 1 585,42 585,42 585,42 585,42 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-22 1 1 592,81 592,81 592,81 592,81 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-23 1 1 605,51 605,51 605,51 605,51 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-27 1 1 600,64 600,64 600,64 600,64 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-28 1 1 605,33 605,33 605,33 605,33 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-29 1 1 612,35 612,35 612,35 612,35 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-06-30 1 1 614,74 614,74 614,74 614,74 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-01 1 1 623,74 623,74 623,74 623,74 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-04 1 1 632,26 632,26 632,26 632,26 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-05 1 1 628,29 628,29 628,29 628,29 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-06 1 1 639,75 639,75 639,75 639,75 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-07 1 1 639,6 639,6 639,6 639,6 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-08 1 1 648,24 648,24 648,24 648,24 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-11 1 1 652,48 652,48 652,48 652,48 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-12 1 1 643,24 643,24 643,24 643,24 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-13 1 1 647,68 647,68 647,68 647,68 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-14 1 1 649,59 649,59 649,59 649,59 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-15 1 1 648,63 648,63 648,63 648,63 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-18 1 1 645,99 645,99 645,99 645,99 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-19 1 1 652,84 652,84 652,84 652,84 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-20 1 1 657,08 657,08 657,08 657,08 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-21 1 1 654,3 654,3 654,3 654,3 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-22 1 1 660,7 660,7 660,7 660,7 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-25 1 1 667,85 667,85 667,85 667,85 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-26 1 1 672,47 672,47 672,47 672,47 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-27 1 1 672,87 672,87 672,87 672,87 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-28 1 1 675,77 675,77 675,77 675,77 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-07-29 1 1 675,08 675,08 675,08 675,08 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-01 1 1 671,3 671,3 671,3 671,3 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-02 1 1 677,27 677,27 677,27 677,27 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-03 1 1 671,12 671,12 671,12 671,12 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-04 1 1 671,9 671,9 671,9 671,9 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-05 1 1 677,01 677,01 677,01 677,01 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-08 1 1 678,71 678,71 678,71 678,71 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-09 1 1 682,61 682,61 682,61 682,61 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-10 1 1 680,44 680,44 680,44 680,44 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-11 1 1 672,13 672,13 672,13 672,13 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-12 1 1 680,51 680,51 680,51 680,51 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-15 1 1 687,27 687,27 687,27 687,27 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-16 1 1 704,21 704,21 704,21 704,21 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-17 1 1 714,21 714,21 714,21 714,21 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-18 1 1 722,96 722,96 722,96 722,96 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-19 1 1 732,6 732,6 732,6 732,6 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-22 1 1 737,84 737,84 737,84 737,84 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-23 1 1 738,34 738,34 738,34 738,34 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-24 1 1 736,41 736,41 736,41 736,41 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-25 1 1 737,8 737,8 737,8 737,8 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-26 1 1 740,26 740,26 740,26 740,26 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-29 1 1 745,38 745,38 745,38 745,38 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-30 1 1 755,51 755,51 755,51 755,51 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-08-31 1 1 752,35 752,35 752,35 752,35 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-01 1 1 751,29 751,29 751,29 751,29 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-02 1 1 754,88 754,88 754,88 754,88 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-05 1 1 759,2 759,2 759,2 759,2 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-06 1 1 750,63 750,63 750,63 750,63 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-07 1 1 746,83 746,83 746,83 746,83 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-08 1 1 756,39 756,39 756,39 756,39 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-09 1 1 770,88 770,88 770,88 770,88 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-12 1 1 775,01 775,01 775,01 775,01 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-13 1 1 776,46 776,46 776,46 776,46 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-14 1 1 773,96 773,96 773,96 773,96 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-15 1 1 785,43 785,43 785,43 785,43 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-16 1 1 799,32 799,32 799,32 799,32 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-19 1 1 815,44 815,44 815,44 815,44 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-20 1 1 817,61 817,61 817,61 817,61 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-21 1 1 827,23 827,23 827,23 827,23 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-22 1 1 838,65 838,65 838,65 838,65 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-23 1 1 846,78 846,78 846,78 846,78 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-26 1 1 843,43 843,43 843,43 843,43 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-27 1 1 858,37 858,37 858,37 858,37 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-28 1 1 864,76 864,76 864,76 864,76 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-29 1 1 865,7 865,7 865,7 865,7 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-09-30 1 1 873,2 873,2 873,2 873,2 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-03 1 1 900,06 900,06 900,06 900,06 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-04 1 1 904,19 904,19 904,19 904,19 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-05 1 1 882,75 882,75 882,75 882,75 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-06 1 1 829,37 829,37 829,37 829,37 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-07 1 1 824,45 824,45 824,45 824,45 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-10 1 1 842,42 842,42 842,42 842,42 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-11 1 1 860,71 860,71 860,71 860,71 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-12 1 1 843,28 843,28 843,28 843,28 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-13 1 1 835,16 835,16 835,16 835,16 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-14 1 1 819,07 819,07 819,07 819,07 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-17 1 1 816,48 816,48 816,48 816,48 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-18 1 1 822,49 822,49 822,49 822,49 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-19 1 1 799,36 799,36 799,36 799,36 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-20 1 1 801,26 801,26 801,26 801,26 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-21 1 1 793,93 793,93 793,93 793,93 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-24 1 1 814,57 814,57 814,57 814,57 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-25 1 1 801,79 801,79 801,79 801,79 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-26 1 1 803,16 803,16 803,16 803,16 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-27 1 1 796,1 796,1 796,1 796,1 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-28 1 1 803,24 803,24 803,24 803,24 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-10-31 1 1 820,53 820,53 820,53 820,53 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-01 1 1 833,29 833,29 833,29 833,29 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-02 1 1 845,81 845,81 845,81 845,81 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-03 1 1 855,78 855,78 855,78 855,78 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-04 1 1 863,86 863,86 863,86 863,86 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-07 1 1 870,87 870,87 870,87 870,87 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-08 1 1 868,42 868,42 868,42 868,42 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-09 1 1 880,44 880,44 880,44 880,44 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-10 1 1 879,79 879,79 879,79 879,79 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-11 1 1 872,58 872,58 872,58 872,58 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-14 1 1 880,32 880,32 880,32 880,32 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-15 1 1 886,23 886,23 886,23 886,23 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-16 1 1 884,17 884,17 884,17 884,17 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-17 1 1 897,16 897,16 897,16 897,16 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-18 1 1 893,19 893,19 893,19 893,19 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-21 1 1 894,01 894,01 894,01 894,01 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-22 1 1 893,78 893,78 893,78 893,78 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-23 1 1 882,63 882,63 882,63 882,63 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-24 1 1 886,51 886,51 886,51 886,51 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-25 1 1 895,1 895,1 895,1 895,1 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-28 1 1 896,23 896,23 896,23 896,23 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-29 1 1 906,36 906,36 906,36 906,36 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-11-30 1 1 910,42 910,42 910,42 910,42 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-01 1 1 927,02 927,02 927,02 927,02 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-02 1 1 932,82 932,82 932,82 932,82 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-05 1 1 932,4 932,4 932,4 932,4 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-06 1 1 922,13 922,13 922,13 922,13 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-07 1 1 936,92 936,92 936,92 936,92 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-08 1 1 933,48 933,48 933,48 933,48 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-12 1 1 936,18 936,18 936,18 936,18 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-13 1 1 935,39 935,39 935,39 935,39 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-14 1 1 938,89 938,89 938,89 938,89 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-15 1 1 945,53 945,53 945,53 945,53 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-16 1 1 945,86 945,86 945,86 945,86 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-19 1 1 952,52 952,52 952,52 952,52 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-20 1 1 958,51 958,51 958,51 958,51 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-21 1 1 969,52 969,52 969,52 969,52 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-22 1 1 978,59 978,59 978,59 978,59 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-23 1 1 987,32 987,32 987,32 987,32 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-27 1 1 992 992 992 992 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-28 1 1 979,52 979,52 979,52 979,52 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-29 1 1 988,68 988,68 988,68 988,68 834788 East Capital Asset Management AB East Capital Rysslandsfonden SEK 2005-12-30 1 1 999,41 999,41 999,41 999,41 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-03 1 1 19,35 19,35 19,35 19,35 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-04 1 1 19,5 19,5 19,5 19,5 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-05 1 1 19,49 19,49 19,49 19,49 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-07 1 1 19,65 19,65 19,65 19,65 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-10 1 1 19,82 19,82 19,82 19,82 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-11 1 1 19,83 19,83 19,83 19,83 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-12 1 1 19,77 19,77 19,77 19,77 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-13 1 1 19,95 19,95 19,95 19,95 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-14 1 1 20,21 20,21 20,21 20,21 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-17 1 1 20,55 20,55 20,55 20,55 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-18 1 1 20,48 20,48 20,48 20,48 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-19 1 1 20,51 20,51 20,51 20,51 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-20 1 1 20,63 20,63 20,63 20,63 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-21 1 1 20,7 20,7 20,7 20,7 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-24 1 1 20,8 20,8 20,8 20,8 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-25 1 1 21,17 21,17 21,17 21,17 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-26 1 1 21,17 21,17 21,17 21,17 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-27 1 1 21,34 21,34 21,34 21,34 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-28 1 1 21,42 21,42 21,42 21,42 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-01-31 1 1 21,73 21,73 21,73 21,73 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-01 1 1 21,92 21,92 21,92 21,92 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-02 1 1 22,03 22,03 22,03 22,03 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-03 1 1 22,23 22,23 22,23 22,23 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-04 1 1 22,34 22,34 22,34 22,34 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-07 1 1 22,6 22,6 22,6 22,6 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-08 1 1 22,56 22,56 22,56 22,56 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-09 1 1 22,44 22,44 22,44 22,44 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-10 1 1 22,34 22,34 22,34 22,34 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-11 1 1 22,36 22,36 22,36 22,36 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-14 1 1 22,41 22,41 22,41 22,41 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-15 1 1 22,51 22,51 22,51 22,51 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-16 1 1 22,47 22,47 22,47 22,47 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-17 1 1 22,62 22,62 22,62 22,62 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-18 1 1 22,65 22,65 22,65 22,65 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-21 1 1 22,82 22,82 22,82 22,82 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-22 1 1 22,7 22,7 22,7 22,7 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-23 1 1 22,73 22,73 22,73 22,73 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-24 1 1 22,9 22,9 22,9 22,9 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-25 1 1 23,29 23,29 23,29 23,29 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-02-28 1 1 23,5 23,5 23,5 23,5 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-01 1 1 23,51 23,51 23,51 23,51 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-02 1 1 23,46 23,46 23,46 23,46 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-03 1 1 23,39 23,39 23,39 23,39 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-04 1 1 23,37 23,37 23,37 23,37 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-07 1 1 23,58 23,58 23,58 23,58 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-08 1 1 23,52 23,52 23,52 23,52 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-09 1 1 23,55 23,55 23,55 23,55 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-10 1 1 23,29 23,29 23,29 23,29 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-11 1 1 23,2 23,2 23,2 23,2 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-14 1 1 23,04 23,04 23,04 23,04 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-15 1 1 22,98 22,98 22,98 22,98 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-16 1 1 22,28 22,28 22,28 22,28 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-17 1 1 22,07 22,07 22,07 22,07 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-18 1 1 22,34 22,34 22,34 22,34 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-21 1 1 22,1 22,1 22,1 22,1 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-22 1 1 22,25 22,25 22,25 22,25 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-23 1 1 22,03 22,03 22,03 22,03 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-24 1 1 22,23 22,23 22,23 22,23 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-29 1 1 22,28 22,28 22,28 22,28 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-30 1 1 22,04 22,04 22,04 22,04 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-03-31 1 1 22,38 22,38 22,38 22,38 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-01 1 1 22,67 22,67 22,67 22,67 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-04 1 1 22,77 22,77 22,77 22,77 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-05 1 1 22,83 22,83 22,83 22,83 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-06 1 1 22,99 22,99 22,99 22,99 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-07 1 1 23,02 23,02 23,02 23,02 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-08 1 1 23,2 23,2 23,2 23,2 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-11 1 1 22,79 22,79 22,79 22,79 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-12 1 1 22,82 22,82 22,82 22,82 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-13 1 1 22,96 22,96 22,96 22,96 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-14 1 1 22,81 22,81 22,81 22,81 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-15 1 1 22,47 22,47 22,47 22,47 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-18 1 1 22,07 22,07 22,07 22,07 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-19 1 1 22,2 22,2 22,2 22,2 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-20 1 1 22,14 22,14 22,14 22,14 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-21 1 1 22,18 22,18 22,18 22,18 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-22 1 1 22,23 22,23 22,23 22,23 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-25 1 1 22,25 22,25 22,25 22,25 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-26 1 1 22,19 22,19 22,19 22,19 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-27 1 1 21,91 21,91 21,91 21,91 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-28 1 1 21,77 21,77 21,77 21,77 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-04-29 1 1 21,86 21,86 21,86 21,86 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-02 1 1 22,06 22,06 22,06 22,06 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-03 1 1 22,04 22,04 22,04 22,04 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-04 1 1 22,02 22,02 22,02 22,02 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-06 1 1 22,26 22,26 22,26 22,26 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-09 1 1 22,24 22,24 22,24 22,24 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-10 1 1 22,15 22,15 22,15 22,15 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-11 1 1 22,1 22,1 22,1 22,1 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-12 1 1 22,15 22,15 22,15 22,15 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-13 1 1 22,11 22,11 22,11 22,11 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-16 1 1 21,98 21,98 21,98 21,98 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-17 1 1 21,99 21,99 21,99 21,99 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-18 1 1 22,17 22,17 22,17 22,17 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-19 1 1 22,24 22,24 22,24 22,24 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-20 1 1 22,31 22,31 22,31 22,31 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-23 1 1 22,17 22,17 22,17 22,17 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-24 1 1 22,29 22,29 22,29 22,29 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-25 1 1 22,23 22,23 22,23 22,23 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-26 1 1 22,36 22,36 22,36 22,36 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-27 1 1 22,51 22,51 22,51 22,51 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-30 1 1 22,57 22,57 22,57 22,57 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-05-31 1 1 22,79 22,79 22,79 22,79 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-01 1 1 22,83 22,83 22,83 22,83 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-02 1 1 23,01 23,01 23,01 23,01 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-03 1 1 23,04 23,04 23,04 23,04 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-07 1 1 22,95 22,95 22,95 22,95 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-08 1 1 23,06 23,06 23,06 23,06 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-09 1 1 23,18 23,18 23,18 23,18 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-10 1 1 23,46 23,46 23,46 23,46 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-13 1 1 23,74 23,74 23,74 23,74 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-14 1 1 23,85 23,85 23,85 23,85 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-15 1 1 23,88 23,88 23,88 23,88 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-16 1 1 23,95 23,95 23,95 23,95 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-17 1 1 23,8 23,8 23,8 23,8 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-20 1 1 23,86 23,86 23,86 23,86 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-21 1 1 23,97 23,97 23,97 23,97 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-22 1 1 24,19 24,19 24,19 24,19 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-23 1 1 24,63 24,63 24,63 24,63 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-27 1 1 24,32 24,32 24,32 24,32 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-28 1 1 24,61 24,61 24,61 24,61 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-29 1 1 24,99 24,99 24,99 24,99 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-06-30 1 1 25,07 25,07 25,07 25,07 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-01 1 1 25,37 25,37 25,37 25,37 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-04 1 1 25,57 25,57 25,57 25,57 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-05 1 1 25,37 25,37 25,37 25,37 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-06 1 1 25,66 25,66 25,66 25,66 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-07 1 1 25,62 25,62 25,62 25,62 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-08 1 1 25,87 25,87 25,87 25,87 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-11 1 1 25,96 25,96 25,96 25,96 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-12 1 1 25,73 25,73 25,73 25,73 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-13 1 1 25,83 25,83 25,83 25,83 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-14 1 1 25,96 25,96 25,96 25,96 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-15 1 1 25,91 25,91 25,91 25,91 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-18 1 1 25,76 25,76 25,76 25,76 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-19 1 1 26 26 26 26 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-20 1 1 26,05 26,05 26,05 26,05 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-21 1 1 26,06 26,06 26,06 26,06 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-22 1 1 26,12 26,12 26,12 26,12 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-25 1 1 26,26 26,26 26,26 26,26 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-26 1 1 26,32 26,32 26,32 26,32 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-27 1 1 26,42 26,42 26,42 26,42 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-28 1 1 26,47 26,47 26,47 26,47 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-07-29 1 1 26,58 26,58 26,58 26,58 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-01 1 1 26,63 26,63 26,63 26,63 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-02 1 1 26,77 26,77 26,77 26,77 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-03 1 1 26,63 26,63 26,63 26,63 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-04 1 1 26,77 26,77 26,77 26,77 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-05 1 1 26,79 26,79 26,79 26,79 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-08 1 1 26,88 26,88 26,88 26,88 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-09 1 1 26,94 26,94 26,94 26,94 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-10 1 1 26,91 26,91 26,91 26,91 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-11 1 1 26,54 26,54 26,54 26,54 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-12 1 1 26,35 26,35 26,35 26,35 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-15 1 1 26,48 26,48 26,48 26,48 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-16 1 1 26,95 26,95 26,95 26,95 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-17 1 1 27,03 27,03 27,03 27,03 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-18 1 1 27,14 27,14 27,14 27,14 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-19 1 1 27,38 27,38 27,38 27,38 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-22 1 1 27,58 27,58 27,58 27,58 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-23 1 1 27,57 27,57 27,57 27,57 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-24 1 1 27,58 27,58 27,58 27,58 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-25 1 1 27,63 27,63 27,63 27,63 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-26 1 1 27,69 27,69 27,69 27,69 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-29 1 1 27,8 27,8 27,8 27,8 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-30 1 1 28,1 28,1 28,1 28,1 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-08-31 1 1 28,18 28,18 28,18 28,18 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-01 1 1 28,3 28,3 28,3 28,3 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-02 1 1 28,34 28,34 28,34 28,34 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-05 1 1 28,41 28,41 28,41 28,41 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-06 1 1 28,3 28,3 28,3 28,3 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-07 1 1 28,22 28,22 28,22 28,22 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-08 1 1 28,5 28,5 28,5 28,5 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-09 1 1 29,01 29,01 29,01 29,01 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-12 1 1 29,17 29,17 29,17 29,17 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-13 1 1 29,19 29,19 29,19 29,19 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-14 1 1 29,13 29,13 29,13 29,13 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-15 1 1 29,58 29,58 29,58 29,58 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-16 1 1 29,87 29,87 29,87 29,87 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-19 1 1 30,25 30,25 30,25 30,25 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-20 1 1 30,36 30,36 30,36 30,36 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-21 1 1 30,45 30,45 30,45 30,45 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-22 1 1 30,68 30,68 30,68 30,68 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-23 1 1 30,82 30,82 30,82 30,82 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-26 1 1 30,98 30,98 30,98 30,98 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-27 1 1 31,6 31,6 31,6 31,6 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-28 1 1 31,65 31,65 31,65 31,65 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-29 1 1 31,75 31,75 31,75 31,75 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-09-30 1 1 31,76 31,76 31,76 31,76 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-03 1 1 32,47 32,47 32,47 32,47 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-04 1 1 32,73 32,73 32,73 32,73 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-05 1 1 32,29 32,29 32,29 32,29 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-06 1 1 31,44 31,44 31,44 31,44 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-07 1 1 31,39 31,39 31,39 31,39 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-10 1 1 31,83 31,83 31,83 31,83 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-11 1 1 32,35 32,35 32,35 32,35 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-12 1 1 31,82 31,82 31,82 31,82 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-13 1 1 31,28 31,28 31,28 31,28 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-14 1 1 30,83 30,83 30,83 30,83 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-17 1 1 30,96 30,96 30,96 30,96 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-18 1 1 31,07 31,07 31,07 31,07 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-19 1 1 30,14 30,14 30,14 30,14 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-20 1 1 30,31 30,31 30,31 30,31 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-21 1 1 30,26 30,26 30,26 30,26 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-24 1 1 30,85 30,85 30,85 30,85 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-25 1 1 30,6 30,6 30,6 30,6 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-26 1 1 30,59 30,59 30,59 30,59 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-27 1 1 30,36 30,36 30,36 30,36 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-28 1 1 30,46 30,46 30,46 30,46 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-10-31 1 1 31,08 31,08 31,08 31,08 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-01 1 1 31,46 31,46 31,46 31,46 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-02 1 1 31,93 31,93 31,93 31,93 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-03 1 1 32,23 32,23 32,23 32,23 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-04 1 1 32,42 32,42 32,42 32,42 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-07 1 1 32,73 32,73 32,73 32,73 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-08 1 1 32,55 32,55 32,55 32,55 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-09 1 1 32,83 32,83 32,83 32,83 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-10 1 1 32,95 32,95 32,95 32,95 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-11 1 1 32,64 32,64 32,64 32,64 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-14 1 1 32,76 32,76 32,76 32,76 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-15 1 1 32,96 32,96 32,96 32,96 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-16 1 1 33,08 33,08 33,08 33,08 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-17 1 1 33,47 33,47 33,47 33,47 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-18 1 1 33,24 33,24 33,24 33,24 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-21 1 1 33,24 33,24 33,24 33,24 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-22 1 1 33,21 33,21 33,21 33,21 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-23 1 1 33,09 33,09 33,09 33,09 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-24 1 1 33,23 33,23 33,23 33,23 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-25 1 1 33,39 33,39 33,39 33,39 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-28 1 1 33,35 33,35 33,35 33,35 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-29 1 1 33,74 33,74 33,74 33,74 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-11-30 1 1 33,79 33,79 33,79 33,79 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-01 1 1 34,2 34,2 34,2 34,2 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-02 1 1 34,36 34,36 34,36 34,36 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-05 1 1 34,34 34,34 34,34 34,34 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-06 1 1 33,99 33,99 33,99 33,99 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-07 1 1 34,22 34,22 34,22 34,22 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-08 1 1 34,05 34,05 34,05 34,05 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-12 1 1 34,1 34,1 34,1 34,1 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-13 1 1 34,06 34,06 34,06 34,06 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-14 1 1 34,1 34,1 34,1 34,1 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-15 1 1 34,13 34,13 34,13 34,13 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-16 1 1 34,2 34,2 34,2 34,2 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-19 1 1 34,4 34,4 34,4 34,4 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-20 1 1 34,52 34,52 34,52 34,52 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-21 1 1 34,88 34,88 34,88 34,88 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-22 1 1 35,13 35,13 35,13 35,13 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-23 1 1 35,48 35,48 35,48 35,48 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-27 1 1 35,65 35,65 35,65 35,65 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-28 1 1 35,25 35,25 35,25 35,25 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-29 1 1 35,57 35,57 35,57 35,57 442483 East Capital Asset Management AB East Capital Östeuropafonden SEK 2005-12-30 1 1 35,74 35,74 35,74 35,74 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-03 6,668 6,658 263,83 263,83 1759,21844 1756,58014 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-04 6,728 6,718 263,68 263,68 1774,03904 1771,40224 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-05 6,828 6,818 261,17 261,17 1783,26876 1780,65706 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-07 6,87 6,86 258,02 258,02 1772,5974 1770,0172 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-10 6,96091 6,95091 257,22 257,22 1790,4852702 1787,9130702 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-11 6,96091 6,95091 258 258 1795,91478 1793,33478 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-12 6,913 6,903 258,16 258,16 1784,66008 1782,07848 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-13 6,843 6,833 261,19 261,19 1787,32317 1784,71127 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-14 6,915 6,905 260,52 260,52 1801,4958 1798,8906 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-17 6,915 6,905 263,66 263,66 1823,2089 1820,5723 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-18 6,968 6,958 263,94 263,94 1839,13392 1836,49452 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-19 6,91 6,9 263,98 263,98 1824,1018 1821,462 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-20 6,96 6,95 262,82 262,82 1829,2272 1826,599 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-21 6,978 6,968 261,97 261,97 1828,02666 1825,40696 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-24 6,933 6,923 260,06 260,06 1802,99598 1800,39538 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-25 6,95 6,94 260,58 260,58 1811,031 1808,4252 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-26 6,995 6,985 261,8 261,8 1831,291 1828,673 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-27 6,93 6,92 261,69 261,69 1813,5117 1810,8948 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-28 6,985 6,975 263 263 1837,055 1834,425 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-01-31 6,998 6,988 264,47 264,47 1850,76106 1848,11636 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-01 6,993 6,983 263,48 263,48 1842,51564 1839,88084 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-02 6,953 6,943 264,45 264,45 1838,72085 1836,07635 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-03 6,968 6,958 264,89 264,89 1845,75352 1843,10462 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-04 7,01 7 265,68 265,68 1862,4168 1859,76 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-07 7,065 7,055 268,48 268,48 1896,8112 1894,1264 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-08 7,123 7,113 267,88 267,88 1908,10924 1905,43044 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-09 7,1 7,09 267,6 267,6 1899,96 1897,284 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-10 7,088 7,078 267,42 267,42 1895,47296 1892,79876 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-11 7,068 7,058 266,93 266,93 1886,66124 1883,99194 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-14 7,03 7,02 270,5 270,5 1901,615 1898,91 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-15 7,005 6,995 271,27 271,27 1900,24635 1897,53365 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-16 6,973 6,963 271,37 271,37 1892,26301 1889,54931 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-17 6,97 6,96 270,83 270,83 1887,6851 1884,9768 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-18 6,965 6,955 272,7 272,7 1899,3555 1896,6285 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-21 6,978 6,968 273,03 273,03 1905,20334 1902,47304 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-22 6,905 6,895 274,01 274,01 1892,03905 1889,29895 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-23 6,895 6,885 274,72 274,72 1894,1944 1891,4472 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-24 6,858 6,848 278,14 278,14 1907,48412 1904,70272 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-25 6,885 6,875 279,93 279,93 1927,31805 1924,51875 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-02-28 6,828 6,818 280,82 280,82 1917,43896 1914,63076 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-01 6,87 6,86 280,63 280,63 1927,9281 1925,1218 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-02 6,888 6,878 278,37 278,37 1917,41256 1914,62886 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-03 6,903 6,893 278,35 278,35 1921,45005 1918,66655 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-04 6,9 6,89 277,72 277,72 1916,268 1913,4908 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-07 6,84 6,83 280,88 280,88 1921,2192 1918,4104 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-08 6,825 6,815 280,4 280,4 1913,73 1910,926 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-09 6,76 6,75 281,94 281,94 1905,9144 1903,095 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-10 6,745 6,735 280,92 280,92 1894,8054 1891,9962 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-11 6,765 6,755 280,54 280,54 1897,8531 1895,0477 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-14 6,76 6,75 279,53 279,53 1889,6228 1886,8275 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-15 6,815 6,805 277,15 277,15 1888,77725 1886,00575 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-16 6,81 6,8 278,74 278,74 1898,2194 1895,432 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-17 6,795 6,785 277,73 277,73 1887,17535 1884,39805 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-18 6,828 6,818 276,96 276,96 1891,08288 1888,31328 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-21 6,908 6,898 275,67 275,67 1904,32836 1901,57166 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-22 6,928 6,918 273,71 273,71 1896,26288 1893,52578 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-23 6,973 6,963 271,27 271,27 1891,56571 1888,85301 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-24 7,008 6,998 269,24 269,24 1886,83392 1884,14152 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-29 7,055 7,045 265,83 265,83 1875,43065 1872,77235 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-30 7,053 7,043 264,31 264,31 1864,17843 1861,53533 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-03-31 7,065 7,055 267,54 267,54 1890,1701 1887,4947 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-04-01 7,07 7,06 269,5 269,5 1905,365 1902,67 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-04-04 7,113 7,103 270,3 270,3 1922,6439 1919,9409 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-04-05 7,163 7,153 270,26 270,26 1935,87238 1933,16978 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-04-06 7,125 7,115 270,85 270,85 1929,80625 1927,09775 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-04-07 7,083 7,073 271,01 271,01 1919,56383 1916,85373 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-04-08 7,153 7,143 270,92 270,92 1937,89076 1935,18156 632554 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Asia ex-Japan USD 2005-04-11 7,098 7,088 271,77 271,77 1929,02346 1926,30576 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-03 9,0065 9,0015 183,61 183,61 1653,683465 1652,765415 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-04 9,0345 9,0295 183,67 183,67 1659,366615 1658,448265 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-05 9,0615 9,0565 183,79 183,79 1665,413085 1664,494135 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-07 9,0615 9,0565 183,89 183,89 1666,319235 1665,399785 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-10 9,08619 9,08119 184,07 184,07 1672,4949933 1671,5746433 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-11 9,08619 9,08119 184,15 184,15 1673,2218885 1672,3011385 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-12 9,0455 9,0405 184,19 184,19 1666,090645 1665,169695 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-13 9,0505 9,0455 184,16 184,16 1666,74008 1665,81928 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-14 9,0455 9,0405 184,29 184,29 1666,995195 1666,073745 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-17 9,0685 9,0635 184,42 184,42 1672,41277 1671,49067 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-18 9,0585 9,0535 184,49 184,49 1671,202665 1670,280215 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-19 9,0225 9,0175 184,42 184,42 1663,92945 1663,00735 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-20 9,0315 9,0265 184,54 184,54 1666,67301 1665,75031 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-21 9,0505 9,0455 184,29 184,29 1667,916645 1666,995195 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-24 9,0655 9,0605 184,34 184,34 1671,13427 1670,21257 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-25 9,0715 9,0665 184,51 184,51 1673,782465 1672,859915 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-26 9,0885 9,0835 184,6 184,6 1677,7371 1676,8141 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-27 9,0675 9,0625 184,53 184,53 1673,225775 1672,303125 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-28 9,0955 9,0905 184,41 184,41 1677,301155 1676,379105 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-01-31 9,1075 9,1025 184,58 184,58 1681,06235 1680,13945 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-01 9,1035 9,0985 184,7 184,7 1681,41645 1680,49295 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-02 9,0905 9,0855 184,76 184,76 1679,56078 1678,63698 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-03 9,0695 9,0645 184,8 184,8 1676,0436 1675,1196 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-04 9,0895 9,0845 184,69 184,69 1678,739755 1677,816305 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-07 9,0755 9,0705 184,84 184,84 1677,51542 1676,59122 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-08 9,0895 9,0845 184,93 184,93 1680,921235 1679,996585 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-09 9,0695 9,0645 184,97 184,97 1677,585415 1676,660565 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-10 9,0805 9,0755 185,1 185,1 1680,80055 1679,87505 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-11 9,0935 9,0885 185,21 185,21 1684,207135 1683,281085 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-14 9,1105 9,1055 185,25 185,25 1687,720125 1686,793875 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-15 9,0765 9,0715 185,17 185,17 1680,695505 1679,769655 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-16 9,0705 9,0655 185,1 185,1 1678,94955 1678,02405 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-17 9,0925 9,0875 185,07 185,07 1682,748975 1681,823625 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-18 9,0945 9,0895 184,89 184,89 1681,482105 1680,557655 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-21 9,1185 9,1135 184,7 184,7 1684,18695 1683,26345 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-22 9,0975 9,0925 184,56 184,56 1679,0346 1678,1118 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-23 9,1045 9,0995 184,56 184,56 1680,32652 1679,40372 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-24 9,0715 9,0665 184,56 184,56 1674,23604 1673,31324 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-25 9,0845 9,0795 184,44 184,44 1675,54518 1674,62298 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-02-28 9,0505 9,0455 184,44 184,44 1669,27422 1668,35202 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-01 9,0565 9,0515 184,55 184,55 1671,377075 1670,454325 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-02 9,0645 9,0595 184,49 184,49 1672,309605 1671,387155 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-03 9,0675 9,0625 184,44 184,44 1672,4097 1671,4875 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-04 9,0415 9,0365 184,41 184,41 1667,343015 1666,420965 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-07 9,0425 9,0375 184,65 184,65 1669,697625 1668,774375 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-08 9,0345 9,0295 184,88 184,88 1670,29836 1669,37396 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-09 9,0365 9,0315 184,87 184,87 1670,577755 1669,653405 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-10 9,0655 9,0605 184,64 184,64 1673,85392 1672,93072 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-11 9,0795 9,0745 184,5 184,5 1675,16775 1674,24525 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-14 9,0695 9,0645 184,57 184,57 1673,957615 1673,034765 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-15 9,1035 9,0985 184,47 184,47 1679,322645 1678,400295 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-16 9,0975 9,0925 184,58 184,58 1679,21655 1678,29365 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-17 9,1045 9,0995 184,35 184,35 1678,414575 1677,492825 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-18 9,1035 9,0985 184,34 184,34 1678,13919 1677,21749 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-21 9,1265 9,1215 184,27 184,27 1681,740155 1680,818805 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-22 9,1265 9,1215 184,02 184,02 1679,45853 1678,53843 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-23 9,1165 9,1115 183,94 183,94 1676,88901 1675,96931 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-24 9,1135 9,1085 183,8 183,8 1675,0613 1674,1423 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-29 9,1315 9,1265 184,02 184,02 1680,37863 1679,45853 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-30 9,1425 9,1375 183,97 183,97 1681,945725 1681,025875 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-03-31 9,1405 9,1355 184,21 184,21 1683,771505 1682,850455 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-04-01 9,1645 9,1595 184,22 184,22 1688,28419 1687,36309 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-04-04 9,1695 9,1645 184,32 184,32 1690,12224 1689,20064 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-04-05 9,1745 9,1695 184,35 184,35 1691,319075 1690,397325 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-04-06 9,1705 9,1655 184,34 184,34 1690,48997 1689,56827 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-04-07 9,1505 9,1455 184,46 184,46 1687,90123 1686,97893 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-04-08 9,1625 9,1575 184,65 184,65 1691,855625 1690,932375 339242 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bond Mid Term EUR 2005-04-11 9,1705 9,1655 184,72 184,72 1693,97476 1693,05116 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-03 9,0065 9,0015 162,89 162,89 1467,068785 1466,254335 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-04 9,0345 9,0295 162,9 162,9 1471,72005 1470,90555 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-05 9,0615 9,0565 162,92 162,92 1476,29958 1475,48498 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-07 9,0615 9,0565 162,92 162,92 1476,29958 1475,48498 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-10 9,08619 9,08119 162,98 162,98 1480,8672462 1480,0523462 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-11 9,08619 9,08119 162,98 162,98 1480,8672462 1480,0523462 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-12 9,0455 9,0405 163 163 1474,4165 1473,6015 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-13 9,0505 9,0455 162,99 162,99 1475,140995 1474,326045 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-14 9,0455 9,0405 163,01 163,01 1474,506955 1473,691905 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-17 9,0685 9,0635 163,04 163,04 1478,52824 1477,71304 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-18 9,0585 9,0535 163,04 163,04 1476,89784 1476,08264 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-19 9,0225 9,0175 163,05 163,05 1471,118625 1470,303375 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-20 9,0315 9,0265 163,07 163,07 1472,766705 1471,951355 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-21 9,0505 9,0455 163,03 163,03 1475,503015 1474,687865 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-24 9,0655 9,0605 163,07 163,07 1478,311085 1477,495735 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-25 9,0715 9,0665 163,09 163,09 1479,470935 1478,655485 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-26 9,0885 9,0835 163,13 163,13 1482,607005 1481,791355 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-27 9,0675 9,0625 163,15 163,15 1479,362625 1478,546875 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-28 9,0955 9,0905 163,14 163,14 1483,83987 1483,02417 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-01-31 9,1075 9,1025 163,16 163,16 1485,9797 1485,1639 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-01 9,1035 9,0985 163,17 163,17 1485,418095 1484,602245 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-02 9,0905 9,0855 163,2 163,2 1483,5696 1482,7536 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-03 9,0695 9,0645 163,19 163,19 1480,051705 1479,235755 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-04 9,0895 9,0845 163,22 163,22 1483,58819 1482,77209 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-07 9,0755 9,0705 163,24 163,24 1481,48462 1480,66842 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-08 9,0895 9,0845 163,26 163,26 1483,95177 1483,13547 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-09 9,0695 9,0645 163,26 163,26 1480,68657 1479,87027 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-10 9,0805 9,0755 163,28 163,28 1482,66404 1481,84764 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-11 9,0935 9,0885 163,29 163,29 1484,877615 1484,061165 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-14 9,1105 9,1055 163,34 163,34 1488,10907 1487,29237 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-15 9,0765 9,0715 163,34 163,34 1482,55551 1481,73881 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-16 9,0705 9,0655 163,35 163,35 1481,666175 1480,849425 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-17 9,0925 9,0875 163,34 163,34 1485,16895 1484,35225 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-18 9,0945 9,0895 163,37 163,37 1485,768465 1484,951615 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-21 9,1185 9,1135 163,4 163,4 1489,9629 1489,1459 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-22 9,0975 9,0925 163,4 163,4 1486,5315 1485,7145 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-23 9,1045 9,0995 163,41 163,41 1487,766345 1486,949295 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-24 9,0715 9,0665 163,41 163,41 1482,373815 1481,556765 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-25 9,0845 9,0795 163,43 163,43 1484,679835 1483,862685 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-02-28 9,0505 9,0455 163,46 163,46 1479,39473 1478,57743 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-01 9,0565 9,0515 163,47 163,47 1480,466055 1479,648705 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-02 9,0645 9,0595 163,47 163,47 1481,773815 1480,956465 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-03 9,0675 9,0625 163,46 163,46 1482,17355 1481,35625 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-04 9,0415 9,0365 163,49 163,49 1478,194835 1477,377385 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-07 9,0425 9,0375 163,51 163,51 1478,539175 1477,721625 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-08 9,0345 9,0295 163,54 163,54 1477,50213 1476,68443 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-09 9,0365 9,0315 163,53 163,53 1477,738845 1476,921195 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-10 9,0655 9,0605 163,53 163,53 1482,481215 1481,663565 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-11 9,0795 9,0745 163,53 163,53 1484,770635 1483,952985 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-14 9,0695 9,0645 163,58 163,58 1483,58881 1482,77091 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-15 9,1035 9,0985 163,57 163,57 1489,059495 1488,241645 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-16 9,0975 9,0925 163,6 163,6 1488,351 1487,533 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-17 9,1045 9,0995 163,53 163,53 1488,858885 1488,041235 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-18 9,1035 9,0985 163,46 163,46 1488,05811 1487,24081 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-21 9,1265 9,1215 163,49 163,49 1492,091485 1491,274035 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-22 9,1265 9,1215 163,42 163,42 1491,45263 1490,63553 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-23 9,1165 9,1115 163,4 163,4 1489,6361 1488,8191 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-24 9,1135 9,1085 163,35 163,35 1488,690225 1487,873475 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-29 9,1315 9,1265 163,44 163,44 1492,45236 1491,63516 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-30 9,1425 9,1375 163,43 163,43 1494,158775 1493,341625 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-03-31 9,1405 9,1355 163,45 163,45 1494,014725 1493,197475 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-04-01 9,1645 9,1595 163,46 163,46 1498,02917 1497,21187 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-04-04 9,1695 9,1645 163,49 163,49 1499,121555 1498,304105 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-04-05 9,1745 9,1695 163,48 163,48 1499,84726 1499,02986 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-04-06 9,1705 9,1655 163,46 163,46 1499,00993 1498,19263 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-04-07 9,1505 9,1455 163,44 163,44 1495,55772 1494,74052 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-04-08 9,1625 9,1575 163,44 163,44 1497,519 1496,7018 560896 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Corporate Bonds Short Term EUR 2005-04-11 9,1705 9,1655 163,48 163,48 1499,19334 1498,37594 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-03 9,0065 9,0015 186,01 186,01 1675,299065 1674,369015 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-04 9,0345 9,0295 186,24 186,24 1682,58528 1681,65408 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-05 9,0615 9,0565 186,52 186,52 1690,15098 1689,21838 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-07 9,0615 9,0565 186,6 186,6 1690,8759 1689,9429 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-10 9,08619 9,08119 187,07 187,07 1699,7535633 1698,8182133 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-11 9,08619 9,08119 187,16 187,16 1700,5713204 1699,6355204 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-12 9,0455 9,0405 187,25 187,25 1693,769875 1692,833625 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-13 9,0505 9,0455 187,09 187,09 1693,258045 1692,322595 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-14 9,0455 9,0405 187,41 187,41 1695,217155 1694,280105 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-17 9,0685 9,0635 187,7 187,7 1702,15745 1701,21895 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-18 9,0585 9,0535 187,88 187,88 1701,91098 1700,97158 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-19 9,0225 9,0175 187,8 187,8 1694,4255 1693,4865 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-20 9,0315 9,0265 188,19 188,19 1699,637985 1698,697035 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-21 9,0505 9,0455 187,69 187,69 1698,688345 1697,749895 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-24 9,0655 9,0605 187,7 187,7 1701,59435 1700,65585 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-25 9,0715 9,0665 188 188 1705,442 1704,502 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-26 9,0885 9,0835 188,09 188,09 1709,455965 1708,515515 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-27 9,0675 9,0625 187,83 187,83 1703,148525 1702,209375 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-28 9,0955 9,0905 187,49 187,49 1705,315295 1704,377845 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-01-31 9,1075 9,1025 187,93 187,93 1711,572475 1710,632825 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-01 9,1035 9,0985 188,1 188,1 1712,36835 1711,42785 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-02 9,0905 9,0855 188,28 188,28 1711,55934 1710,61794 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-03 9,0695 9,0645 188,23 188,23 1707,151985 1706,210835 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-04 9,0895 9,0845 187,91 187,91 1708,007945 1707,068395 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-07 9,0755 9,0705 188,33 188,33 1709,188915 1708,247265 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-08 9,0895 9,0845 188,63 188,63 1714,552385 1713,609235 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-09 9,0695 9,0645 188,71 188,71 1711,505345 1710,561795 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-10 9,0805 9,0755 189,17 189,17 1717,758185 1716,812335 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-11 9,0935 9,0885 189,23 189,23 1720,763005 1719,816855 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-14 9,1105 9,1055 189,04 189,04 1722,24892 1721,30372 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-15 9,0765 9,0715 188,71 188,71 1712,826315 1711,882765 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-16 9,0705 9,0655 188,59 188,59 1710,605595 1709,662645 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-17 9,0925 9,0875 188,42 188,42 1713,20885 1712,26675 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-18 9,0945 9,0895 187,83 187,83 1708,219935 1707,280785 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-21 9,1185 9,1135 187,15 187,15 1706,527275 1705,591525 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-22 9,0975 9,0925 186,65 186,65 1698,048375 1697,115125 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-23 9,1045 9,0995 186,58 186,58 1698,71761 1697,78471 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-24 9,0715 9,0665 186,61 186,61 1692,832615 1691,899565 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-25 9,0845 9,0795 186,34 186,34 1692,80573 1691,87403 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-02-28 9,0505 9,0455 186,34 186,34 1686,47017 1685,53847 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-01 9,0565 9,0515 186,62 186,62 1690,12403 1689,19093 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-02 9,0645 9,0595 186,24 186,24 1688,17248 1687,24128 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-03 9,0675 9,0625 185,93 185,93 1685,920275 1684,990625 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-04 9,0415 9,0365 185,9 185,9 1680,81485 1679,88535 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-07 9,0425 9,0375 186,43 186,43 1685,793275 1684,861125 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-08 9,0345 9,0295 187,02 187,02 1689,63219 1688,69709 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-09 9,0365 9,0315 186,92 186,92 1689,10258 1688,16798 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-10 9,0655 9,0605 186,22 186,22 1688,17741 1687,24631 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-11 9,0795 9,0745 185,91 185,91 1687,969845 1687,040295 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-14 9,0695 9,0645 186,05 186,05 1687,380475 1686,450225 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-15 9,1035 9,0985 185,92 185,92 1692,52272 1691,59312 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-16 9,0975 9,0925 186,63 186,63 1697,866425 1696,933275 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-17 9,1045 9,0995 186,77 186,77 1700,447465 1699,513615 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-18 9,1035 9,0985 186,99 186,99 1702,263465 1701,328515 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-21 9,1265 9,1215 186,7 186,7 1703,91755 1702,98405 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-22 9,1265 9,1215 186,41 186,41 1701,270865 1700,338815 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-23 9,1165 9,1115 186,73 186,73 1702,324045 1701,390395 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-24 9,1135 9,1085 186,3 186,3 1697,84505 1696,91355 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-29 9,1315 9,1265 186,67 186,67 1704,577105 1703,643755 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-30 9,1425 9,1375 186,64 186,64 1706,3562 1705,423 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-03-31 9,1405 9,1355 187,57 187,57 1714,483585 1713,545735 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-04-01 9,1645 9,1595 187,58 187,58 1719,07691 1718,13901 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-04-04 9,1695 9,1645 187,82 187,82 1722,21549 1721,27639 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-04-05 9,1745 9,1695 188,03 188,03 1725,081235 1724,141085 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-04-06 9,1705 9,1655 188,01 188,01 1724,145705 1723,205655 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-04-07 9,1505 9,1455 188,12 188,12 1721,39206 1720,45146 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-04-08 9,1625 9,1575 188,35 188,35 1725,756875 1724,815125 525063 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Long Term EUR 2005-04-11 9,1705 9,1655 188,33 188,33 1727,080265 1726,138615 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-03 9,0065 9,0015 177,19 177,19 1595,861735 1594,975785 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-04 9,0345 9,0295 177,31 177,31 1601,907195 1601,020645 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-05 9,0615 9,0565 177,34 177,34 1606,96641 1606,07971 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-07 9,0615 9,0565 177,43 177,43 1607,781945 1606,894795 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-10 9,08619 9,08119 177,69 177,69 1614,5251011 1613,6366511 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-11 9,08619 9,08119 177,68 177,68 1614,4342392 1613,5458392 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-12 9,0455 9,0405 177,7 177,7 1607,38535 1606,49685 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-13 9,0505 9,0455 177,69 177,69 1608,183345 1607,294895 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-14 9,0455 9,0405 177,82 177,82 1608,47081 1607,58171 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-17 9,0685 9,0635 177,95 177,95 1613,739575 1612,849825 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-18 9,0585 9,0535 177,98 177,98 1612,23183 1611,34193 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-19 9,0225 9,0175 177,91 177,91 1605,192975 1604,303425 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-20 9,0315 9,0265 178 178 1607,607 1606,717 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-21 9,0505 9,0455 177,83 177,83 1609,450415 1608,561265 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-24 9,0655 9,0605 177,91 177,91 1612,843105 1611,953555 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-25 9,0715 9,0665 178,03 178,03 1614,999145 1614,108995 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-26 9,0885 9,0835 178,03 178,03 1618,025655 1617,135505 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-27 9,0675 9,0625 177,94 177,94 1613,47095 1612,58125 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-28 9,0955 9,0905 177,79 177,79 1617,088945 1616,199995 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-01-31 9,1075 9,1025 177,95 177,95 1620,679625 1619,789875 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-01 9,1035 9,0985 178,04 178,04 1620,78714 1619,89694 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-02 9,0905 9,0855 178,07 178,07 1618,745335 1617,854985 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-03 9,0695 9,0645 178,01 178,01 1614,461695 1613,571645 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-04 9,0895 9,0845 177,88 177,88 1616,84026 1615,95086 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-07 9,0755 9,0705 178 178 1615,439 1614,549 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-08 9,0895 9,0845 178,05 178,05 1618,385475 1617,495225 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-09 9,0695 9,0645 178,01 178,01 1614,461695 1613,571645 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-10 9,0805 9,0755 178,14 178,14 1617,60027 1616,70957 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-11 9,0935 9,0885 178,26 178,26 1621,00731 1620,11601 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-14 9,1105 9,1055 178,29 178,29 1624,311045 1623,419595 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-15 9,0765 9,0715 178,2 178,2 1617,4323 1616,5413 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-16 9,0705 9,0655 178,09 178,09 1615,365345 1614,474895 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-17 9,0925 9,0875 178,05 178,05 1618,919625 1618,029375 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-18 9,0945 9,0895 177,79 177,79 1616,911155 1616,022205 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-21 9,1185 9,1135 177,68 177,68 1620,17508 1619,28668 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-22 9,0975 9,0925 177,57 177,57 1615,443075 1614,555225 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-23 9,1045 9,0995 177,62 177,62 1617,14129 1616,25319 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-24 9,0715 9,0665 177,68 177,68 1611,82412 1610,93572 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-25 9,0845 9,0795 177,6 177,6 1613,4072 1612,5192 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-02-28 9,0505 9,0455 177,59 177,59 1607,278295 1606,390345 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-01 9,0565 9,0515 177,68 177,68 1609,15892 1608,27052 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-02 9,0645 9,0595 177,63 177,63 1610,127135 1609,238985 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-03 9,0675 9,0625 177,57 177,57 1610,115975 1609,228125 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-04 9,0415 9,0365 177,65 177,65 1606,222475 1605,334225 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-07 9,0425 9,0375 177,85 177,85 1608,208625 1607,319375 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-08 9,0345 9,0295 178,09 178,09 1608,954105 1608,063655 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-09 9,0365 9,0315 178,08 178,08 1609,21992 1608,32952 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-10 9,0655 9,0605 177,95 177,95 1613,205725 1612,315975 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-11 9,0795 9,0745 177,86 177,86 1614,87987 1613,99057 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-14 9,0695 9,0645 177,92 177,92 1613,64544 1612,75584 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-15 9,1035 9,0985 177,87 177,87 1619,239545 1618,350195 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-16 9,0975 9,0925 178 178 1619,355 1618,465 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-17 9,1045 9,0995 177,94 177,94 1620,05473 1619,16503 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-18 9,1035 9,0985 177,97 177,97 1620,149895 1619,260045 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-21 9,1265 9,1215 177,85 177,85 1623,148025 1622,258775 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-22 9,1265 9,1215 177,7 177,7 1621,77905 1620,89055 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-23 9,1165 9,1115 177,77 177,77 1620,640205 1619,751355 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-24 9,1135 9,1085 177,68 177,68 1619,28668 1618,39828 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-29 9,1315 9,1265 177,74 177,74 1623,03281 1622,14411 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-30 9,1425 9,1375 177,72 177,72 1624,8051 1623,9165 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-03-31 9,1405 9,1355 178,15 178,15 1628,380075 1627,489325 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-04-01 9,1645 9,1595 178,16 178,16 1632,74732 1631,85652 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-04-04 9,1695 9,1645 178,37 178,37 1635,563715 1634,671865 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-04-05 9,1745 9,1695 178,43 178,43 1637,006035 1636,113885 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-04-06 9,1705 9,1655 178,41 178,41 1636,108905 1635,216855 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-04-07 9,1505 9,1455 178,48 178,48 1633,18124 1632,28884 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-04-08 9,1625 9,1575 178,61 178,61 1636,514125 1635,621075 489237 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Government Bonds Mid Term EUR 2005-04-11 9,1705 9,1655 178,68 178,68 1638,58494 1637,69154 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-03 9,0065 9,0015 160,81 160,81 1448,335265 1447,531215 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-04 9,0345 9,0295 160,82 160,82 1452,92829 1452,12419 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-05 9,0615 9,0565 160,81 160,81 1457,179815 1456,375765 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-07 9,0615 9,0565 160,81 160,81 1457,179815 1456,375765 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-10 9,08619 9,08119 160,85 160,85 1461,5136615 1460,7094115 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-11 9,08619 9,08119 160,86 160,86 1461,6045234 1460,8002234 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-12 9,0455 9,0405 160,86 160,86 1455,05913 1454,25483 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-13 9,0505 9,0455 160,85 160,85 1455,772925 1454,968675 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-14 9,0455 9,0405 160,86 160,86 1455,05913 1454,25483 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-17 9,0685 9,0635 160,9 160,9 1459,12165 1458,31715 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-18 9,0585 9,0535 160,9 160,9 1457,51265 1456,70815 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-19 9,0225 9,0175 160,9 160,9 1451,72025 1450,91575 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-20 9,0315 9,0265 160,9 160,9 1453,16835 1452,36385 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-21 9,0505 9,0455 160,9 160,9 1456,22545 1455,42095 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-24 9,0655 9,0605 160,92 160,92 1458,82026 1458,01566 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-25 9,0715 9,0665 160,93 160,93 1459,876495 1459,071845 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-26 9,0885 9,0835 160,92 160,92 1462,52142 1461,71682 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-27 9,0675 9,0625 160,9 160,9 1458,96075 1458,15625 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-28 9,0955 9,0905 160,92 160,92 1463,64786 1462,84326 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-01-31 9,1075 9,1025 160,95 160,95 1465,852125 1465,047375 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-01 9,1035 9,0985 160,97 160,97 1465,390395 1464,585545 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-02 9,0905 9,0855 160,96 160,96 1463,20688 1462,40208 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-03 9,0695 9,0645 160,96 160,96 1459,82672 1459,02192 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-04 9,0895 9,0845 160,96 160,96 1463,04592 1462,24112 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-07 9,0755 9,0705 160,99 160,99 1461,064745 1460,259795 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-08 9,0895 9,0845 160,98 160,98 1463,22771 1462,42281 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-09 9,0695 9,0645 160,99 160,99 1460,098805 1459,293855 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-10 9,0805 9,0755 161,01 161,01 1462,051305 1461,246255 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-11 9,0935 9,0885 160,98 160,98 1463,87163 1463,06673 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-14 9,1105 9,1055 161,01 161,01 1466,881605 1466,076555 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-15 9,0765 9,0715 161,03 161,03 1461,588795 1460,783645 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-16 9,0705 9,0655 160,92 160,92 1459,62486 1458,82026 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-17 9,0925 9,0875 161 161 1463,8925 1463,0875 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-18 9,0945 9,0895 161 161 1464,2145 1463,4095 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-21 9,1185 9,1135 160,94 160,94 1467,53139 1466,72669 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-22 9,0975 9,0925 161,01 161,01 1464,788475 1463,983425 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-23 9,1045 9,0995 161,02 161,02 1466,00659 1465,20149 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-24 9,0715 9,0665 160,99 160,99 1460,420785 1459,615835 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-25 9,0845 9,0795 161 161 1462,6045 1461,7995 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-02-28 9,0505 9,0455 161 161 1457,1305 1456,3255 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-01 9,0565 9,0515 161,05 161,05 1458,549325 1457,744075 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-02 9,0645 9,0595 161,01 161,01 1459,475145 1458,670095 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-03 9,0675 9,0625 161,04 161,04 1460,2302 1459,425 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-04 9,0415 9,0365 161,05 161,05 1456,133575 1455,328325 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-07 9,0425 9,0375 161,09 161,09 1456,656325 1455,850875 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-08 9,0345 9,0295 161,11 161,11 1455,548295 1454,742745 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-09 9,0365 9,0315 161,1 161,1 1455,78015 1454,97465 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-10 9,0655 9,0605 161,1 161,1 1460,45205 1459,64655 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-11 9,0795 9,0745 161,1 161,1 1462,70745 1461,90195 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-14 9,0695 9,0645 161,12 161,12 1461,27784 1460,47224 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-15 9,1035 9,0985 161,15 161,15 1467,029025 1466,223275 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-16 9,0975 9,0925 161,15 161,15 1466,062125 1465,256375 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-17 9,1045 9,0995 161,11 161,11 1466,825995 1466,020445 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-18 9,1035 9,0985 161,13 161,13 1466,846955 1466,041305 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-21 9,1265 9,1215 161,18 161,18 1471,00927 1470,20337 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-22 9,1265 9,1215 161,15 161,15 1470,735475 1469,929725 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-23 9,1165 9,1115 161,17 161,17 1469,306305 1468,500455 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-24 9,1135 9,1085 161,44 161,44 1471,28344 1470,47624 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-29 9,1315 9,1265 161,38 161,38 1473,64147 1472,83457 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-30 9,1425 9,1375 161,24 161,24 1474,1367 1473,3305 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-03-31 9,1405 9,1355 161,21 161,21 1473,540005 1472,733955 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-04-01 9,1645 9,1595 161,23 161,23 1477,592335 1476,786185 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-04-04 9,1695 9,1645 161,27 161,27 1478,765265 1477,958915 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-04-05 9,1745 9,1695 161,28 161,28 1479,66336 1478,85696 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-04-06 9,1705 9,1655 161,28 161,28 1479,01824 1478,21184 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-04-07 9,1505 9,1455 161,27 161,27 1475,701135 1474,894785 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-04-08 9,1625 9,1575 161,28 161,28 1477,728 1476,9216 453407 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Euro Short Term EUR 2005-04-11 9,1705 9,1655 161,26 161,26 1478,83483 1478,02853 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-03 9,0065 9,0015 91,16 91,16 821,03254 820,57674 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-04 9,0345 9,0295 91,65 91,65 828,011925 827,553675 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-05 9,0615 9,0565 91,67 91,67 830,667705 830,209355 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-07 9,0615 9,0565 91,27 91,27 827,043105 826,586755 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-10 9,08619 9,08119 91,79 91,79 834,0213801 833,5624301 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-11 9,08619 9,08119 91,86 91,86 834,6574134 834,1981134 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-12 9,0455 9,0405 90,78 90,78 821,15049 820,69659 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-13 9,0505 9,0455 90,02 90,02 814,72601 814,27591 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-14 9,0455 9,0405 90,31 90,31 816,899105 816,447555 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-17 9,0685 9,0635 90,63 90,63 821,878155 821,425005 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-18 9,0585 9,0535 90,99 90,99 824,232915 823,777965 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-19 9,0225 9,0175 91,01 91,01 821,137725 820,682675 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-20 9,0315 9,0265 91,02 91,02 822,04713 821,59203 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-21 9,0505 9,0455 90,43 90,43 818,436715 817,984565 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-24 9,0655 9,0605 90,28 90,28 818,43334 817,98194 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-25 9,0715 9,0665 90,27 90,27 818,884305 818,432955 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-26 9,0885 9,0835 90,86 90,86 825,78111 825,32681 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-27 9,0675 9,0625 90,99 90,99 825,051825 824,596875 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-28 9,0955 9,0905 91,58 91,58 832,96589 832,50799 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-01-31 9,1075 9,1025 91,11 91,11 829,784325 829,328775 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-01 9,1035 9,0985 91,83 91,83 835,974405 835,515255 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-02 9,0905 9,0855 92,54 92,54 841,23487 840,77217 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-03 9,0695 9,0645 92,48 92,48 838,74736 838,28496 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-04 9,0895 9,0845 91,68 91,68 833,32536 832,86696 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-07 9,0755 9,0705 92,54 92,54 839,84677 839,38407 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-08 9,0895 9,0845 93,16 93,16 846,77782 846,31202 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-09 9,0695 9,0645 93,4 93,4 847,0913 846,6243 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-10 9,0805 9,0755 93,31 93,31 847,301455 846,834905 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-11 9,0935 9,0885 93,52 93,52 850,42412 849,95652 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-14 9,1105 9,1055 94,37 94,37 859,757885 859,286035 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-15 9,0765 9,0715 94,54 94,54 858,09231 857,61961 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-16 9,0705 9,0655 94,69 94,69 858,885645 858,412195 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-17 9,0925 9,0875 93,83 93,83 853,149275 852,680125 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-18 9,0945 9,0895 93,97 93,97 854,610165 854,140315 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-21 9,1185 9,1135 93,97 93,97 856,865445 856,395595 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-22 9,0975 9,0925 94,17 94,17 856,711575 856,240725 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-23 9,1045 9,0995 93,58 93,58 851,99911 851,53121 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-24 9,0715 9,0665 93,2 93,2 845,4638 844,9978 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-25 9,0845 9,0795 93,29 93,29 847,493005 847,026555 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-02-28 9,0505 9,0455 94,59 94,59 856,086795 855,613845 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-01 9,0565 9,0515 94,1 94,1 852,21665 851,74615 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-02 9,0645 9,0595 94,93 94,93 860,492985 860,018335 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-03 9,0675 9,0625 95,11 95,11 862,409925 861,934375 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-04 9,0415 9,0365 95,06 95,06 859,48499 859,00969 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-07 9,0425 9,0375 95,46 95,46 863,19705 862,71975 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-08 9,0345 9,0295 95,32 95,32 861,16854 860,69194 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-09 9,0365 9,0315 94,77 94,77 856,389105 855,915255 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-10 9,0655 9,0605 94,12 94,12 853,24486 852,77426 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-11 9,0795 9,0745 93,33 93,33 847,389735 846,923085 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-14 9,0695 9,0645 93,4 93,4 847,0913 846,6243 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-15 9,1035 9,0985 93,38 93,38 850,08483 849,61793 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-16 9,0975 9,0925 94,13 94,13 856,347675 855,877025 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-17 9,1045 9,0995 92,9 92,9 845,80805 845,34355 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-18 9,1035 9,0985 92,99 92,99 846,534465 846,069515 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-21 9,1265 9,1215 93,18 93,18 850,40727 849,94137 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-22 9,1265 9,1215 93,06 93,06 849,31209 848,84679 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-23 9,1165 9,1115 93,38 93,38 851,29877 850,83187 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-24 9,1135 9,1085 93,08 93,08 848,28458 847,81918 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-29 9,1315 9,1265 93,58 93,58 854,52577 854,05787 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-30 9,1425 9,1375 93,7 93,7 856,65225 856,18375 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-03-31 9,1405 9,1355 93,38 93,38 853,53989 853,07299 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-04-01 9,1645 9,1595 93,48 93,48 856,69746 856,23006 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-04-04 9,1695 9,1645 93,64 93,64 858,63198 858,16378 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-04-05 9,1745 9,1695 93,06 93,06 853,77897 853,31367 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-04-06 9,1705 9,1655 93,55 93,55 857,900275 857,432525 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-04-07 9,1505 9,1455 93,86 93,86 858,86593 858,39663 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-04-08 9,1625 9,1575 94,49 94,49 865,764625 865,292175 661710 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe EUR 2005-04-11 9,1705 9,1655 94,52 94,52 866,79566 866,32306 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-03 9,0065 9,0015 101,12 101,12 910,73728 910,23168 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-04 9,0345 9,0295 101,66 101,66 918,44727 917,93897 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-05 9,0615 9,0565 102,25 102,25 926,538375 926,027125 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-07 9,0615 9,0565 101,72 101,72 921,73578 921,22718 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-10 9,08619 9,08119 102,69 102,69 933,0608511 932,5474011 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-11 9,08619 9,08119 102,64 102,64 932,6065416 932,0933416 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-12 9,0455 9,0405 102,33 102,33 925,626015 925,114365 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-13 9,0505 9,0455 102,22 102,22 925,14211 924,63101 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-14 9,0455 9,0405 102,79 102,79 929,786945 929,272995 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-17 9,0685 9,0635 102,99 102,99 933,964815 933,449865 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-18 9,0585 9,0535 103,74 103,74 939,72879 939,21009 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-19 9,0225 9,0175 104,01 104,01 938,430225 937,910175 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-20 9,0315 9,0265 104,4 104,4 942,8886 942,3666 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-21 9,0505 9,0455 103,98 103,98 941,07099 940,55109 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-24 9,0655 9,0605 103,73 103,73 940,364315 939,845665 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-25 9,0715 9,0665 103,37 103,37 937,720955 937,204105 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-26 9,0885 9,0835 104,17 104,17 946,749045 946,228195 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-27 9,0675 9,0625 104,6 104,6 948,4605 947,9375 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-28 9,0955 9,0905 104,75 104,75 952,753625 952,229875 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-01-31 9,1075 9,1025 104,75 104,75 954,010625 953,486875 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-01 9,1035 9,0985 105,05 105,05 956,322675 955,797425 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-02 9,0905 9,0855 105,85 105,85 962,229425 961,700175 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-03 9,0695 9,0645 106,25 106,25 963,634375 963,103125 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-04 9,0895 9,0845 106,51 106,51 968,122645 967,590095 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-07 9,0755 9,0705 107,57 107,57 976,251535 975,713685 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-08 9,0895 9,0845 108,57 108,57 986,847015 986,304165 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-09 9,0695 9,0645 108,54 108,54 984,40353 983,86083 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-10 9,0805 9,0755 108,73 108,73 987,322765 986,779115 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-11 9,0935 9,0885 108,75 108,75 988,918125 988,374375 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-14 9,1105 9,1055 109,56 109,56 998,14638 997,59858 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-15 9,0765 9,0715 109,85 109,85 997,053525 996,504275 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-16 9,0705 9,0655 110,16 110,16 999,20628 998,65548 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-17 9,0925 9,0875 109,79 109,79 998,265575 997,716625 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-18 9,0945 9,0895 110,13 110,13 1001,577285 1001,026635 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-21 9,1185 9,1135 109,94 109,94 1002,48789 1001,93819 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-22 9,0975 9,0925 109,72 109,72 998,1777 997,6291 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-23 9,1045 9,0995 109,13 109,13 993,574085 993,028435 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-24 9,0715 9,0665 108,51 108,51 984,348465 983,805915 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-25 9,0845 9,0795 108,65 108,65 987,030925 986,487675 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-02-28 9,0505 9,0455 110,12 110,12 996,64106 996,09046 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-01 9,0565 9,0515 110,72 110,72 1002,73568 1002,18208 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-02 9,0645 9,0595 111,26 111,26 1008,51627 1007,95997 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-03 9,0675 9,0625 110,99 110,99 1006,401825 1005,846875 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-04 9,0415 9,0365 110,74 110,74 1001,25571 1000,70201 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-07 9,0425 9,0375 111,5 111,5 1008,23875 1007,68125 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-08 9,0345 9,0295 112,06 112,06 1012,40607 1011,84577 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-09 9,0365 9,0315 111,68 111,68 1009,19632 1008,63792 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-10 9,0655 9,0605 111,6 111,6 1011,7098 1011,1518 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-11 9,0795 9,0745 111,1 111,1 1008,73245 1008,17695 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-14 9,0695 9,0645 111,35 111,35 1009,888825 1009,332075 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-15 9,1035 9,0985 110,81 110,81 1008,758835 1008,204785 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-16 9,0975 9,0925 111,2 111,2 1011,642 1011,086 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-17 9,1045 9,0995 109,42 109,42 996,21439 995,66729 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-18 9,1035 9,0985 109,27 109,27 994,739445 994,193095 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-21 9,1265 9,1215 109,86 109,86 1002,63729 1002,08799 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-22 9,1265 9,1215 109,27 109,27 997,252655 996,706305 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-23 9,1165 9,1115 109,36 109,36 996,98044 996,43364 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-24 9,1135 9,1085 108,22 108,22 986,26297 985,72187 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-29 9,1315 9,1265 108,81 108,81 993,598515 993,054465 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-30 9,1425 9,1375 108,56 108,56 992,5098 991,967 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-03-31 9,1405 9,1355 108,78 108,78 994,30359 993,75969 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-04-01 9,1645 9,1595 108,79 108,79 997,005955 996,462005 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-04-04 9,1695 9,1645 109,64 109,64 1005,34398 1004,79578 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-04-05 9,1745 9,1695 109,26 109,26 1002,40587 1001,85957 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-04-06 9,1705 9,1655 109,73 109,73 1006,278965 1005,730315 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-04-07 9,1505 9,1455 110,27 110,27 1009,025635 1008,474285 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-04-08 9,1625 9,1575 110,83 110,83 1015,479875 1014,925725 668384 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Mid Caps EUR 2005-04-11 9,1705 9,1655 111,4 111,4 1021,5937 1021,0367 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-03 9,0065 9,0015 149,41 149,41 1345,661165 1344,914115 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-04 9,0345 9,0295 150,2 150,2 1356,9819 1356,2309 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-05 9,0615 9,0565 150,62 150,62 1364,84313 1364,09003 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-07 9,0615 9,0565 149,92 149,92 1358,50008 1357,75048 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-10 9,08619 9,08119 150,49 150,49 1367,3807331 1366,6282831 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-11 9,08619 9,08119 149,99 149,99 1362,8376381 1362,0876881 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-12 9,0455 9,0405 148,76 148,76 1345,60858 1344,86478 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-13 9,0505 9,0455 147,91 147,91 1338,659455 1337,919905 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-14 9,0455 9,0405 148,7 148,7 1345,06585 1344,32235 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-17 9,0685 9,0635 149,49 149,49 1355,650065 1354,902615 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-18 9,0585 9,0535 150,19 150,19 1360,496115 1359,745165 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-19 9,0225 9,0175 150,49 150,49 1357,796025 1357,043575 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-20 9,0315 9,0265 150,8 150,8 1361,9502 1361,1962 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-21 9,0505 9,0455 150,23 150,23 1359,656615 1358,905465 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-24 9,0655 9,0605 150,27 150,27 1362,272685 1361,521335 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-25 9,0715 9,0665 150,18 150,18 1362,35787 1361,60697 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-26 9,0885 9,0835 150,98 150,98 1372,18173 1371,42683 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-27 9,0675 9,0625 150,94 150,94 1368,64845 1367,89375 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-28 9,0955 9,0905 151,59 151,59 1378,786845 1378,028895 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-01-31 9,1075 9,1025 151,14 151,14 1376,50755 1375,75185 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-01 9,1035 9,0985 152,19 152,19 1385,461665 1384,700715 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-02 9,0905 9,0855 152,82 152,82 1389,21021 1388,44611 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-03 9,0695 9,0645 153,29 153,29 1390,263655 1389,497205 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-04 9,0895 9,0845 153,08 153,08 1391,42066 1390,65526 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-07 9,0755 9,0705 154,56 154,56 1402,70928 1401,93648 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-08 9,0895 9,0845 155,46 155,46 1413,05367 1412,27637 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-09 9,0695 9,0645 155,23 155,23 1407,858485 1407,082335 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-10 9,0805 9,0755 154,85 154,85 1406,115425 1405,341175 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-11 9,0935 9,0885 155,25 155,25 1411,765875 1410,989625 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-14 9,1105 9,1055 156,82 156,82 1428,70861 1427,92451 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-15 9,0765 9,0715 156,6 156,6 1421,3799 1420,5969 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-16 9,0705 9,0655 157,09 157,09 1424,884845 1424,099395 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-17 9,0925 9,0875 156,14 156,14 1419,70295 1418,92225 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-18 9,0945 9,0895 156,33 156,33 1421,743185 1420,961535 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-21 9,1185 9,1135 156,52 156,52 1427,22762 1426,44502 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-22 9,0975 9,0925 155,31 155,31 1412,932725 1412,156175 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-23 9,1045 9,0995 153,79 153,79 1400,181055 1399,412105 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-24 9,0715 9,0665 153,31 153,31 1390,751665 1389,985115 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-25 9,0845 9,0795 153,14 153,14 1391,20033 1390,43463 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-02-28 9,0505 9,0455 154,23 154,23 1395,858615 1395,087465 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-01 9,0565 9,0515 153,94 153,94 1394,15761 1393,38791 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-02 9,0645 9,0595 154,74 154,74 1402,64073 1401,86703 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-03 9,0675 9,0625 154,59 154,59 1401,744825 1400,971875 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-04 9,0415 9,0365 154,03 154,03 1392,662245 1391,892095 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-07 9,0425 9,0375 155,3 155,3 1404,30025 1403,52375 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-08 9,0345 9,0295 155,44 155,44 1404,32268 1403,54548 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-09 9,0365 9,0315 154,64 154,64 1397,40436 1396,63116 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-10 9,0655 9,0605 153,66 153,66 1393,00473 1392,23643 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-11 9,0795 9,0745 152,62 152,62 1385,71329 1384,95019 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-14 9,0695 9,0645 152,76 152,76 1385,45682 1384,69302 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-15 9,1035 9,0985 152,78 152,78 1390,83273 1390,06883 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-16 9,0975 9,0925 153,28 153,28 1394,4648 1393,6984 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-17 9,1045 9,0995 151,58 151,58 1380,06011 1379,30221 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-18 9,1035 9,0985 152,07 152,07 1384,369245 1383,608895 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-21 9,1265 9,1215 152,62 152,62 1392,88643 1392,12333 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-22 9,1265 9,1215 152,36 152,36 1390,51354 1389,75174 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-23 9,1165 9,1115 152,93 152,93 1394,186345 1393,421695 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-24 9,1135 9,1085 152,47 152,47 1389,535345 1388,772995 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-29 9,1315 9,1265 153,07 153,07 1397,758705 1396,993355 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-30 9,1425 9,1375 153,03 153,03 1399,076775 1398,311625 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-03-31 9,1405 9,1355 152,84 152,84 1397,03402 1396,26982 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-04-01 9,1645 9,1595 152,96 152,96 1401,80192 1401,03712 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-04-04 9,1695 9,1645 153,7 153,7 1409,35215 1408,58365 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-04-05 9,1745 9,1695 152,96 152,96 1403,33152 1402,56672 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-04-06 9,1705 9,1655 154,39 154,39 1415,833495 1415,061545 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-04-07 9,1505 9,1455 154,92 154,92 1417,59546 1416,82086 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-04-08 9,1625 9,1575 155,69 155,69 1426,509625 1425,731175 375071 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Europe Value & Yield EUR 2005-04-11 9,1705 9,1655 155,93 155,93 1429,956065 1429,176415 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-03 9,0065 9,0015 164,65 164,65 1482,920225 1482,096975 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-04 9,0345 9,0295 165,24 165,24 1492,86078 1492,03458 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-05 9,0615 9,0565 165,35 165,35 1498,319025 1497,492275 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-07 9,0615 9,0565 165,14 165,14 1496,41611 1495,59041 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-10 9,08619 9,08119 165,26 165,26 1501,5837594 1500,7574594 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-11 9,08619 9,08119 165,34 165,34 1502,3106546 1501,4839546 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-12 9,0455 9,0405 164,99 164,99 1492,417045 1491,592095 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-13 9,0505 9,0455 164,85 164,85 1491,974925 1491,150675 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-14 9,0455 9,0405 164,91 164,91 1491,693405 1490,868855 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-17 9,0685 9,0635 165 165 1496,3025 1495,4775 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-18 9,0585 9,0535 165,07 165,07 1495,286595 1494,461245 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-19 9,0225 9,0175 165,08 165,08 1489,4343 1488,6089 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-20 9,0315 9,0265 165,19 165,19 1491,913485 1491,087535 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-21 9,0505 9,0455 164,81 164,81 1491,612905 1490,788855 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-24 9,0655 9,0605 164,93 164,93 1495,172915 1494,348265 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-25 9,0715 9,0665 164,69 164,69 1493,985335 1493,161885 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-26 9,0885 9,0835 164,91 164,91 1498,784535 1497,959985 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-27 9,0675 9,0625 165,17 165,17 1497,678975 1496,853125 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-28 9,0955 9,0905 165,31 165,31 1503,577105 1502,750555 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-01-31 9,1075 9,1025 165,18 165,18 1504,37685 1503,55095 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-01 9,1035 9,0985 165,53 165,53 1506,902355 1506,074705 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-02 9,0905 9,0855 165,82 165,82 1507,38671 1506,55761 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-03 9,0695 9,0645 165,94 165,94 1504,99283 1504,16313 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-04 9,0895 9,0845 165,53 165,53 1504,584935 1503,757285 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-07 9,0755 9,0705 165,89 165,89 1505,534695 1504,705245 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-08 9,0895 9,0845 166,29 166,29 1511,492955 1510,661505 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-09 9,0695 9,0645 166,3 166,3 1508,25785 1507,42635 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-10 9,0805 9,0755 166,4 166,4 1510,9952 1510,1632 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-11 9,0935 9,0885 166,2 166,2 1511,3397 1510,5087 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-14 9,1105 9,1055 166,4 166,4 1515,9872 1515,1552 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-15 9,0765 9,0715 166,56 166,56 1511,78184 1510,94904 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-16 9,0705 9,0655 166,6 166,6 1511,1453 1510,3123 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-17 9,0925 9,0875 166,29 166,29 1511,991825 1511,160375 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-18 9,0945 9,0895 166,13 166,13 1510,869285 1510,038635 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-21 9,1185 9,1135 166,15 166,15 1515,038775 1514,208025 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-22 9,0975 9,0925 165,57 165,57 1506,273075 1505,445225 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-23 9,1045 9,0995 165,15 165,15 1503,608175 1502,782425 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-24 9,0715 9,0665 164,91 164,91 1495,981065 1495,156515 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-25 9,0845 9,0795 164,8 164,8 1497,1256 1496,3016 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-02-28 9,0505 9,0455 165,25 165,25 1495,595125 1494,768875 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-01 9,0565 9,0515 165,38 165,38 1497,76397 1496,93707 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-02 9,0645 9,0595 165,63 165,63 1501,353135 1500,524985 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-03 9,0675 9,0625 165,67 165,67 1502,212725 1501,384375 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-04 9,0415 9,0365 165,83 165,83 1499,351945 1498,522795 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-07 9,0425 9,0375 166,25 166,25 1503,315625 1502,484375 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-08 9,0345 9,0295 166,4 166,4 1503,3408 1502,5088 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-09 9,0365 9,0315 166,26 166,26 1502,40849 1501,57719 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-10 9,0655 9,0605 166,1 166,1 1505,77955 1504,94905 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-11 9,0795 9,0745 165,59 165,59 1503,474405 1502,646455 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-14 9,0695 9,0645 165,59 165,59 1501,818505 1500,990555 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-15 9,1035 9,0985 165,52 165,52 1506,81132 1505,98372 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-16 9,0975 9,0925 165,75 165,75 1507,910625 1507,081875 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-17 9,1045 9,0995 165,32 165,32 1505,15594 1504,32934 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-18 9,1035 9,0985 165,14 165,14 1503,35199 1502,52629 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-21 9,1265 9,1215 165,16 165,16 1507,33274 1506,50694 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-22 9,1265 9,1215 165,03 165,03 1506,146295 1505,321145 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-23 9,1165 9,1115 165,02 165,02 1504,40483 1503,57973 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-24 9,1135 9,1085 164,82 164,82 1502,08707 1501,26297 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-29 9,1315 9,1265 164,93 164,93 1506,058295 1505,233645 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-30 9,1425 9,1375 164,81 164,81 1506,775425 1505,951375 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-03-31 9,1405 9,1355 165,02 165,02 1508,36531 1507,54021 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-04-01 9,1645 9,1595 165,02 165,02 1512,32579 1511,50069 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-04-04 9,1695 9,1645 165,14 165,14 1514,25123 1513,42553 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-04-05 9,1745 9,1695 164,82 164,82 1512,14109 1511,31699 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-04-06 9,1705 9,1655 165,21 165,21 1515,058305 1514,232255 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-04-07 9,1505 9,1455 165,68 165,68 1516,05484 1515,22644 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-04-08 9,1625 9,1575 165,83 165,83 1519,417375 1518,588225 410902 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund European Convertible Bonds EUR 2005-04-11 9,1705 9,1655 165,92 165,92 1521,56936 1520,73976 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-03 0,0649 0,0648 11387 11387 739,0163 737,8776 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-04 0,06545 0,06535 11418 11418 747,3081 746,1663 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-05 0,0653 0,0652 11353 11353 741,3509 740,2156 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-07 0,06565 0,06555 11344 11344 744,7336 743,5992 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-10 0,06651 0,06641 11341 11341 754,28991 753,15581 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-11 0,06651 0,06641 11448 11448 761,40648 760,26168 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-12 0,06685 0,06675 11389 11389 761,35465 760,21575 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-13 0,06685 0,06675 11292 11292 754,8702 753,741 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-14 0,0672 0,0671 11335 11335 761,712 760,5785 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-17 0,0679 0,0678 11370 11370 772,023 770,886 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-18 0,0679 0,0678 11347 11347 770,4613 769,3266 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-19 0,06745 0,06735 11370 11370 766,9065 765,7695 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-20 0,06765 0,06755 11284 11284 763,3626 762,2342 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-21 0,06725 0,06715 11233 11233 755,41925 754,29595 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-24 0,06745 0,06735 11285 11285 761,17325 760,04475 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-25 0,0674 0,0673 11278 11278 760,1372 759,0094 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-26 0,06755 0,06745 11322 11322 764,8011 763,6689 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-27 0,0672 0,0671 11305 11305 759,696 758,5655 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-28 0,0677 0,0676 11315 11315 766,0255 764,894 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-01-31 0,0676 0,0675 11356 11356 767,6656 766,53 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-01 0,06725 0,06715 11340 11340 762,615 761,481 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-02 0,0671 0,067 11362 11362 762,3902 761,254 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-03 0,06695 0,06685 11305 11305 756,86975 755,73925 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-04 0,0671 0,067 11263 11263 755,7473 754,621 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-07 0,0677 0,0676 11341 11341 767,7857 766,6516 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-08 0,06765 0,06755 11331 11331 766,54215 765,40905 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-09 0,06725 0,06715 11306 11306 760,3285 759,1979 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-10 0,06715 0,06705 11378 11378 764,0327 762,8949 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-11 0,06695 0,06685 11377 11377 761,69015 760,55245 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-14 0,0671 0,067 11454 11454 768,5634 767,418 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-15 0,0667 0,0666 11453 11453 763,9151 762,7698 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-16 0,06635 0,06625 11407 11407 756,85445 755,71375 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-17 0,06615 0,06605 11366 11366 751,8609 750,7243 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-18 0,06615 0,06605 11437 11437 756,55755 755,41385 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-21 0,06605 0,06595 11453 11453 756,47065 755,32535 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-22 0,06605 0,06595 11447 11447 756,07435 754,92965 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-23 0,0658 0,0657 11332 11332 745,6456 744,5124 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-24 0,0655 0,0654 11386 11386 745,783 744,6444 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-25 0,06545 0,06535 11487 11487 751,82415 750,67545 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-02-28 0,06545 0,06535 11571,77 11571,77 757,3723465 756,2151695 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-01 0,06565 0,06555 11596 11596 761,2774 760,1178 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-02 0,06585 0,06575 11639 11639 766,42815 765,26425 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-03 0,06575 0,06565 11696 11696 769,012 767,8424 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-04 0,06545 0,06535 11707 11707 766,22315 765,05245 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-07 0,0652 0,0651 11744 11744 765,7088 764,5344 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-08 0,06505 0,06495 11682 11682 759,9141 758,7459 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-09 0,06465 0,06455 11742 11742 759,1203 757,9461 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-10 0,06485 0,06475 11681 11681 757,51285 756,34475 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-11 0,065 0,0649 11716 11716 761,54 760,3684 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-14 0,0647 0,0646 11670 11670 755,049 753,882 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-15 0,06505 0,06495 11646 11646 757,5723 756,4077 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-16 0,06535 0,06525 11680 11680 763,288 762,12 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-17 0,0652 0,0651 11639,67 11639,67 758,906484 757,742517 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-18 0,0652 0,0651 11728,85 11728,85 764,72102 763,548135 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-21 0,0657 0,0656 11726,2 11726,2 770,41134 769,23872 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-22 0,06595 0,06585 11684 11684 770,5598 769,3914 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-23 0,06615 0,06605 11594 11594 766,9431 765,7837 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-24 0,0659 0,0658 11590 11590 763,781 762,622 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-29 0,06595 0,06585 11508 11508 758,9526 757,8018 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-30 0,06575 0,06565 11483 11483 755,00725 753,85895 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-03-31 0,06595 0,06585 11565,77 11565,77 762,7625315 761,6059545 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-04-01 0,06585 0,06575 11612,43 11612,43 764,6785155 763,5172725 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-04-04 0,06595 0,06585 11592,08 11592,08 764,497676 763,338468 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-04-05 0,06585 0,06575 11635,36 11635,36 766,188456 765,02492 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-04-06 0,06595 0,06585 11708,1 11708,1 772,149195 770,978385 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-04-07 0,06545 0,06535 11712,79 11712,79 766,6021055 765,4308265 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-04-08 0,0658 0,0657 11726,1 11726,1 771,57738 770,40477 596726 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund Japan JPY 2005-04-11 0,06555 0,06545 11657 11657 764,11635 762,95065 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-03 9,0065 9,0015 121,05 121,05 1090,236825 1089,631575 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-04 9,0345 9,0295 121,05 121,05 1093,626225 1093,020975 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-05 9,0615 9,0565 121,18 121,18 1098,07257 1097,46667 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-07 9,0615 9,0565 121,57 121,57 1101,606555 1100,998705 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-10 9,08619 9,08119 122,44 122,44 1112,5131036 1111,9009036 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-11 9,08619 9,08119 122,43 122,43 1112,4222417 1111,8100917 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-12 9,0455 9,0405 121,47 121,47 1098,756885 1098,149535 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-13 9,0505 9,0455 120,77 120,77 1093,028885 1092,425035 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-14 9,0455 9,0405 120,79 120,79 1092,605945 1092,001995 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-17 9,0685 9,0635 121,32 121,32 1100,19042 1099,58382 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-18 9,0585 9,0535 121,9 121,9 1104,23115 1103,62165 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-19 9,0225 9,0175 122,56 122,56 1105,7976 1105,1848 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-20 9,0315 9,0265 122,24 122,24 1104,01056 1103,39936 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-21 9,0505 9,0455 121,88 121,88 1103,07494 1102,46554 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-24 9,0655 9,0605 121,45 121,45 1101,004975 1100,397725 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-25 9,0715 9,0665 121,09 121,09 1098,467935 1097,862485 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-26 9,0885 9,0835 121,44 121,44 1103,70744 1103,10024 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-27 9,0675 9,0625 121,16 121,16 1098,6183 1098,0125 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-28 9,0955 9,0905 121,74 121,74 1107,28617 1106,67747 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-01-31 9,1075 9,1025 121,51 121,51 1106,652325 1106,044775 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-01 9,1035 9,0985 121,62 121,62 1107,16767 1106,55957 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-02 9,0905 9,0855 122,04 122,04 1109,40462 1108,79442 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-03 9,0695 9,0645 122,42 122,42 1110,28819 1109,67609 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-04 9,0895 9,0845 122,63 122,63 1114,645385 1114,032235 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-07 9,0755 9,0705 124,02 124,02 1125,54351 1124,92341 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-08 9,0895 9,0845 124,39 124,39 1130,642905 1130,020955 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-09 9,0695 9,0645 123,93 123,93 1123,983135 1123,363485 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-10 9,0805 9,0755 122,91 122,91 1116,084255 1115,469705 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-11 9,0935 9,0885 122,75 122,75 1116,227125 1115,613375 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-14 9,1105 9,1055 123,08 123,08 1121,32034 1120,70494 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-15 9,0765 9,0715 122,96 122,96 1116,04644 1115,43164 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-16 9,0705 9,0655 122,69 122,69 1112,859645 1112,246195 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-17 9,0925 9,0875 122,51 122,51 1113,922175 1113,309625 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-18 9,0945 9,0895 122,04 122,04 1109,89278 1109,28258 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-21 9,1185 9,1135 122,8 122,8 1119,7518 1119,1378 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-22 9,0975 9,0925 122,98 122,98 1118,81055 1118,19565 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-23 9,1045 9,0995 121,67 121,67 1107,744515 1107,136165 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-24 9,0715 9,0665 121,33 121,33 1100,645095 1100,038445 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-25 9,0845 9,0795 121,87 121,87 1107,128015 1106,518665 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-02-28 9,0505 9,0455 122,63 122,63 1109,862815 1109,249665 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-01 9,0565 9,0515 121,54 121,54 1100,72701 1100,11931 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-02 9,0645 9,0595 122,52 122,52 1110,58254 1109,96994 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-03 9,0675 9,0625 122,38 122,38 1109,68065 1109,06875 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-04 9,0415 9,0365 122,34 122,34 1106,13711 1105,52541 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-07 9,0425 9,0375 121,92 121,92 1102,4616 1101,852 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-08 9,0345 9,0295 121,81 121,81 1100,492445 1099,883395 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-09 9,0365 9,0315 120,66 120,66 1090,34409 1089,74079 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-10 9,0655 9,0605 119,68 119,68 1084,95904 1084,36064 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-11 9,0795 9,0745 119,72 119,72 1086,99774 1086,39914 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-14 9,0695 9,0645 119,35 119,35 1082,444825 1081,848075 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-15 9,1035 9,0985 119,95 119,95 1091,964825 1091,365075 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-16 9,0975 9,0925 119,87 119,87 1090,517325 1089,917975 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-17 9,1045 9,0995 118,79 118,79 1081,523555 1080,929605 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-18 9,1035 9,0985 118,86 118,86 1082,04201 1081,44771 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-21 9,1265 9,1215 119,3 119,3 1088,79145 1088,19495 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-22 9,1265 9,1215 119,35 119,35 1089,247775 1088,651025 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-23 9,1165 9,1115 119,79 119,79 1092,065535 1091,466585 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-24 9,1135 9,1085 120,86 120,86 1101,45761 1100,85331 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-29 9,1315 9,1265 121,78 121,78 1112,03407 1111,42517 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-30 9,1425 9,1375 121,11 121,11 1107,248175 1106,642625 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-03-31 9,1405 9,1355 121,51 121,51 1110,662155 1110,054605 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-04-01 9,1645 9,1595 121,38 121,38 1112,38701 1111,78011 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-04-04 9,1695 9,1645 121,53 121,53 1114,369335 1113,761685 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-04-05 9,1745 9,1695 121,44 121,44 1114,15128 1113,54408 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-04-06 9,1705 9,1655 122,74 122,74 1125,58717 1124,97347 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-04-07 9,1505 9,1455 123,41 123,41 1129,263205 1128,646155 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-04-08 9,1625 9,1575 124,12 124,12 1137,2495 1136,6289 518399 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Food & Health EUR 2005-04-11 9,1705 9,1655 123,53 123,53 1132,831865 1132,214215 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-03 9,0065 9,0015 87,36 87,36 786,80784 786,37104 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-04 9,0345 9,0295 87,48 87,48 790,33806 789,90066 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-05 9,0615 9,0565 87,47 87,47 792,609405 792,172055 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-07 9,0615 9,0565 87,48 87,48 792,70002 792,26262 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-10 9,08619 9,08119 87,83 87,83 798,0400677 797,6009177 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-11 9,08619 9,08119 87,7 87,7 796,858863 796,420363 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-12 9,0455 9,0405 87,12 87,12 788,04396 787,60836 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-13 9,0505 9,0455 86,59 86,59 783,682795 783,249845 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-14 9,0455 9,0405 87,07 87,07 787,591685 787,156335 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-17 9,0685 9,0635 87,71 87,71 795,398135 794,959585 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-18 9,0585 9,0535 88,08 88,08 797,87268 797,43228 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-19 9,0225 9,0175 88,3 88,3 796,68675 796,24525 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-20 9,0315 9,0265 87,86 87,86 793,50759 793,06829 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-21 9,0505 9,0455 87,44 87,44 791,37572 790,93852 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-24 9,0655 9,0605 87,09 87,09 789,514395 789,078945 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-25 9,0715 9,0665 87,2 87,2 791,0348 790,5988 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-26 9,0885 9,0835 87,73 87,73 797,334105 796,895455 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-27 9,0675 9,0625 87,47 87,47 793,134225 792,696875 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-28 9,0955 9,0905 87,85 87,85 799,039675 798,600425 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-01-31 9,1075 9,1025 87,73 87,73 799,000975 798,562325 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-01 9,1035 9,0985 88,01 88,01 801,199035 800,758985 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-02 9,0905 9,0855 88,51 88,51 804,600155 804,157605 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-03 9,0695 9,0645 88,7 88,7 804,46465 804,02115 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-04 9,0895 9,0845 88,74 88,74 806,60223 806,15853 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-07 9,0755 9,0705 89,99 89,99 816,704245 816,254295 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-08 9,0895 9,0845 90,48 90,48 822,41796 821,96556 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-09 9,0695 9,0645 90,58 90,58 821,51531 821,06241 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-10 9,0805 9,0755 90,23 90,23 819,333515 818,882365 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-11 9,0935 9,0885 90,11 90,11 819,415285 818,964735 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-14 9,1105 9,1055 90,44 90,44 823,95362 823,50142 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-15 9,0765 9,0715 90,28 90,28 819,42642 818,97502 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-16 9,0705 9,0655 90,36 90,36 819,61038 819,15858 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-17 9,0925 9,0875 89,99 89,99 818,234075 817,784125 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-18 9,0945 9,0895 88,57 88,57 805,499865 805,057015 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-21 9,1185 9,1135 87,58 87,58 798,59823 798,16033 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-22 9,0975 9,0925 87,29 87,29 794,120775 793,684325 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-23 9,1045 9,0995 86,07 86,07 783,624315 783,193965 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-24 9,0715 9,0665 85,83 85,83 778,606845 778,177695 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-25 9,0845 9,0795 72,42 72,42 657,89949 657,53739 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-02-28 9,0505 9,0455 72,8 72,8 658,8764 658,5124 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-01 9,0565 9,0515 72,73 72,73 658,679245 658,315595 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-02 9,0645 9,0595 72,67 72,67 658,717215 658,353865 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-03 9,0675 9,0625 72,6 72,6 658,3005 657,9375 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-04 9,0415 9,0365 72,54 72,54 655,87041 655,50771 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-07 9,0425 9,0375 72,34 72,34 654,13445 653,77275 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-08 9,0345 9,0295 72,27 72,27 652,923315 652,561965 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-09 9,0365 9,0315 72,21 72,21 652,525665 652,164615 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-10 9,0655 9,0605 72,14 72,14 653,98517 653,62447 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-11 9,0795 9,0745 72,08 72,08 654,45036 654,08996 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-14 9,0695 9,0645 71,88 71,88 651,91566 651,55626 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-15 9,1035 9,0985 71,8 71,8 653,6313 653,2723 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-16 9,0975 9,0925 71,73 71,73 652,563675 652,205025 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-17 9,1045 9,0995 71,52 71,52 651,15384 650,79624 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-18 9,1035 9,0985 71,44 71,44 650,35404 649,99684 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-21 9,1265 9,1215 71,22 71,22 649,98933 649,63323 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-22 9,1265 9,1215 71,15 71,15 649,350475 648,994725 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-23 9,1165 9,1115 71,07 71,07 647,909655 647,554305 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-24 9,1135 9,1085 71 71 647,0585 646,7035 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-29 9,1315 9,1265 70,62 70,62 644,86653 644,51343 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-30 9,1425 9,1375 70,62 70,62 645,64335 645,29025 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-03-31 9,1405 9,1355 70,62 70,62 645,50211 645,14901 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-04-01 9,1645 9,1595 70,62 70,62 647,19699 646,84389 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-04-04 9,1695 9,1645 70,62 70,62 647,55009 647,19699 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-04-05 9,1745 9,1695 70,62 70,62 647,90319 647,55009 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-04-06 9,1705 9,1655 70,62 70,62 647,62071 647,26761 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-04-07 9,1505 9,1455 70,62 70,62 646,20831 645,85521 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-04-08 9,1625 9,1575 70,62 70,62 647,05575 646,70265 554220 Edmond de Rothschild Asset Management S.A. Edmond de Rothschild Fund World Leaders EUR 2005-04-11 9,1705 9,1655 70,62 70,62 647,62071 647,26761 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-03 1 1 282,47 282,47 282,47 282,47 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-04 1 1 285,18 285,18 285,18 285,18 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-05 1 1 282,33 282,33 282,33 282,33 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-07 1 1 280,87 280,87 280,87 280,87 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-10 1 1 283,49 283,49 283,49 283,49 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-11 1 1 281,5 281,5 281,5 281,5 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-12 1 1 278,76 278,76 278,76 278,76 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-13 1 1 278,78 278,78 278,78 278,78 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-14 1 1 277,1 277,1 277,1 277,1 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-17 1 1 278,98 278,98 278,98 278,98 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-18 1 1 277,76 277,76 277,76 277,76 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-19 1 1 277,83 277,83 277,83 277,83 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-20 1 1 271,21 271,21 271,21 271,21 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-21 1 1 270,15 270,15 270,15 270,15 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-24 1 1 267,39 267,39 267,39 267,39 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-25 1 1 269,29 269,29 269,29 269,29 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-26 1 1 269,17 269,17 269,17 269,17 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-27 1 1 271,38 271,38 271,38 271,38 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-28 1 1 270,29 270,29 270,29 270,29 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-01-31 1 1 271,9 271,9 271,9 271,9 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-01 1 1 275,03 275,03 275,03 275,03 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-02 1 1 277,34 277,34 277,34 277,34 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-03 1 1 277,28 277,28 277,28 277,28 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-04 1 1 283 283 283 283 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-07 1 1 288,93 288,93 288,93 288,93 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-08 1 1 288,19 288,19 288,19 288,19 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-09 1 1 288 288 288 288 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-10 1 1 282,39 282,39 282,39 282,39 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-11 1 1 284,69 284,69 284,69 284,69 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-14 1 1 287,23 287,23 287,23 287,23 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-15 1 1 288,93 288,93 288,93 288,93 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-16 1 1 288,39 288,39 288,39 288,39 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-17 1 1 288,01 288,01 288,01 288,01 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-18 1 1 286,04 286,04 286,04 286,04 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-21 1 1 288,38 288,38 288,38 288,38 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-22 1 1 287,22 287,22 287,22 287,22 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-23 1 1 285,42 285,42 285,42 285,42 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-24 1 1 287,43 287,43 287,43 287,43 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-25 1 1 289,96 289,96 289,96 289,96 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-02-28 1 1 289,94 289,94 289,94 289,94 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-01 1 1 291,09 291,09 291,09 291,09 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-02 1 1 294 294 294 294 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-03 1 1 294,81 294,81 294,81 294,81 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-04 1 1 296,23 296,23 296,23 296,23 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-07 1 1 297,18 297,18 297,18 297,18 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-08 1 1 294,52 294,52 294,52 294,52 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-09 1 1 293,38 293,38 293,38 293,38 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-10 1 1 289,67 289,67 289,67 289,67 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-11 1 1 292,48 292,48 292,48 292,48 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-14 1 1 291,6 291,6 291,6 291,6 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-15 1 1 293,58 293,58 293,58 293,58 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-16 1 1 291,59 291,59 291,59 291,59 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-17 1 1 292,04 292,04 292,04 292,04 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-18 1 1 292,67 292,67 292,67 292,67 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-21 1 1 291,19 291,19 291,19 291,19 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-22 1 1 292,09 292,09 292,09 292,09 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-23 1 1 288,79 288,79 288,79 288,79 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-24 1 1 289,5 289,5 289,5 289,5 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-29 1 1 290,04 290,04 290,04 290,04 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-30 1 1 288,62 288,62 288,62 288,62 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-03-31 1 1 291,83 291,83 291,83 291,83 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-01 1 1 293,53 293,53 293,53 293,53 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-04 1 1 291,28 291,28 291,28 291,28 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-05 1 1 292,36 292,36 292,36 292,36 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-06 1 1 293,63 293,63 293,63 293,63 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-07 1 1 294,52 294,52 294,52 294,52 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-08 1 1 296,81 296,81 296,81 296,81 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-11 1 1 291,34 291,34 291,34 291,34 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-12 1 1 288,87 288,87 288,87 288,87 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-13 1 1 290,82 290,82 290,82 290,82 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-14 1 1 291,76 291,76 291,76 291,76 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-15 1 1 285,64 285,64 285,64 285,64 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-18 1 1 279,99 279,99 279,99 279,99 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-19 1 1 280,36 280,36 280,36 280,36 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-20 1 1 280,74 280,74 280,74 280,74 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-21 1 1 279,72 279,72 279,72 279,72 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-22 1 1 283,05 283,05 283,05 283,05 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-25 1 1 280,98 280,98 280,98 280,98 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-26 1 1 281,03 281,03 281,03 281,03 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-27 1 1 274,77 274,77 274,77 274,77 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-28 1 1 270,99 270,99 270,99 270,99 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-04-29 1 1 271,38 271,38 271,38 271,38 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-02 1 1 273,4 273,4 273,4 273,4 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-03 1 1 271,39 271,39 271,39 271,39 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-04 1 1 270,88 270,88 270,88 270,88 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-06 1 1 276,08 276,08 276,08 276,08 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-09 1 1 276,98 276,98 276,98 276,98 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-10 1 1 276,7 276,7 276,7 276,7 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-11 1 1 274,62 274,62 274,62 274,62 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-12 1 1 277,96 277,96 277,96 277,96 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-13 1 1 279,88 279,88 279,88 279,88 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-16 1 1 281,65 281,65 281,65 281,65 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-17 1 1 282,67 282,67 282,67 282,67 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-18 1 1 285,27 285,27 285,27 285,27 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-19 1 1 284,98 284,98 284,98 284,98 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-20 1 1 284,12 284,12 284,12 284,12 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-23 1 1 285,91 285,91 285,91 285,91 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-24 1 1 286,15 286,15 286,15 286,15 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-25 1 1 285,12 285,12 285,12 285,12 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-26 1 1 287,38 287,38 287,38 287,38 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-27 1 1 287,94 287,94 287,94 287,94 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-30 1 1 288,18 288,18 288,18 288,18 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-05-31 1 1 287,52 287,52 287,52 287,52 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-01 1 1 287,91 287,91 287,91 287,91 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-02 1 1 288,01 288,01 288,01 288,01 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-03 1 1 287,8 287,8 287,8 287,8 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-07 1 1 289,15 289,15 289,15 289,15 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-08 1 1 291,18 291,18 291,18 291,18 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-09 1 1 291 291 291 291 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-10 1 1 293,19 293,19 293,19 293,19 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-13 1 1 294,66 294,66 294,66 294,66 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-14 1 1 297,15 297,15 297,15 297,15 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-15 1 1 297,51 297,51 297,51 297,51 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-16 1 1 296,99 296,99 296,99 296,99 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-17 1 1 296,26 296,26 296,26 296,26 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-20 1 1 295,24 295,24 295,24 295,24 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-21 1 1 297,28 297,28 297,28 297,28 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-22 1 1 299,54 299,54 299,54 299,54 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-23 1 1 301,69 301,69 301,69 301,69 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-27 1 1 295,67 295,67 295,67 295,67 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-28 1 1 296,84 296,84 296,84 296,84 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-29 1 1 299,57 299,57 299,57 299,57 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-06-30 1 1 299,34 299,34 299,34 299,34 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-01 1 1 301,79 301,79 301,79 301,79 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-04 1 1 301,82 301,82 301,82 301,82 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-05 1 1 301,26 301,26 301,26 301,26 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-06 1 1 301,4 301,4 301,4 301,4 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-07 1 1 298,25 298,25 298,25 298,25 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-08 1 1 303,26 303,26 303,26 303,26 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-11 1 1 308,91 308,91 308,91 308,91 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-12 1 1 310,66 310,66 310,66 310,66 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-13 1 1 312,07 312,07 312,07 312,07 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-14 1 1 312,27 312,27 312,27 312,27 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-15 1 1 310 310 310 310 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-18 1 1 309,89 309,89 309,89 309,89 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-19 1 1 309,74 309,74 309,74 309,74 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-20 1 1 309,92 309,92 309,92 309,92 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-21 1 1 306,27 306,27 306,27 306,27 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-22 1 1 307,02 307,02 307,02 307,02 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-25 1 1 308,1 308,1 308,1 308,1 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-26 1 1 309,17 309,17 309,17 309,17 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-27 1 1 309,43 309,43 309,43 309,43 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-28 1 1 311,77 311,77 311,77 311,77 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-07-29 1 1 311,93 311,93 311,93 311,93 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-01 1 1 311,37 311,37 311,37 311,37 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-02 1 1 313,44 313,44 313,44 313,44 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-03 1 1 313,28 313,28 313,28 313,28 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-04 1 1 311,96 311,96 311,96 311,96 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-05 1 1 310,56 310,56 310,56 310,56 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-08 1 1 310,69 310,69 310,69 310,69 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-09 1 1 312,78 312,78 312,78 312,78 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-10 1 1 314,28 314,28 314,28 314,28 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-11 1 1 313,71 313,71 313,71 313,71 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-12 1 1 314,35 314,35 314,35 314,35 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-15 1 1 314,52 314,52 314,52 314,52 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-16 1 1 314,93 314,93 314,93 314,93 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-17 1 1 315,47 315,47 315,47 315,47 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-18 1 1 315,14 315,14 315,14 315,14 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-19 1 1 317,03 317,03 317,03 317,03 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-22 1 1 320,31 320,31 320,31 320,31 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-23 1 1 319,37 319,37 319,37 319,37 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-24 1 1 317,46 317,46 317,46 317,46 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-25 1 1 313,21 313,21 313,21 313,21 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-26 1 1 314,99 314,99 314,99 314,99 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-29 1 1 314,72 314,72 314,72 314,72 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-30 1 1 315,53 315,53 315,53 315,53 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-08-31 1 1 318,03 318,03 318,03 318,03 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-01 1 1 319,5 319,5 319,5 319,5 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-02 1 1 318,64 318,64 318,64 318,64 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-05 1 1 319,61 319,61 319,61 319,61 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-06 1 1 322,32 322,32 322,32 322,32 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-07 1 1 324,34 324,34 324,34 324,34 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-08 1 1 324,26 324,26 324,26 324,26 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-09 1 1 327,1 327,1 327,1 327,1 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-12 1 1 327,93 327,93 327,93 327,93 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-13 1 1 327,93 327,93 327,93 327,93 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-14 1 1 330,95 330,95 330,95 330,95 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-15 1 1 331,4 331,4 331,4 331,4 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-16 1 1 333,59 333,59 333,59 333,59 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-19 1 1 335,76 335,76 335,76 335,76 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-20 1 1 335,78 335,78 335,78 335,78 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-21 1 1 332,37 332,37 332,37 332,37 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-22 1 1 331,49 331,49 331,49 331,49 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-23 1 1 331,24 331,24 331,24 331,24 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-26 1 1 334,34 334,34 334,34 334,34 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-27 1 1 334,26 334,26 334,26 334,26 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-28 1 1 335,66 335,66 335,66 335,66 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-29 1 1 334,73 334,73 334,73 334,73 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-09-30 1 1 335,21 335,21 335,21 335,21 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-03 1 1 339,84 339,84 339,84 339,84 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-04 1 1 338,77 338,77 338,77 338,77 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-05 1 1 338,76 338,76 338,76 338,76 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-06 1 1 334,51 334,51 334,51 334,51 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-07 1 1 336,49 336,49 336,49 336,49 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-10 1 1 340,85 340,85 340,85 340,85 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-11 1 1 342,29 342,29 342,29 342,29 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-12 1 1 338,62 338,62 338,62 338,62 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-13 1 1 334,39 334,39 334,39 334,39 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-14 1 1 334,55 334,55 334,55 334,55 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-17 1 1 335,41 335,41 335,41 335,41 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-18 1 1 335,25 335,25 335,25 335,25 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-19 1 1 328,66 328,66 328,66 328,66 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-20 1 1 326,24 326,24 326,24 326,24 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-21 1 1 322,81 322,81 322,81 322,81 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-24 1 1 327,45 327,45 327,45 327,45 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-25 1 1 325,69 325,69 325,69 325,69 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-26 1 1 325,88 325,88 325,88 325,88 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-27 1 1 323,38 323,38 323,38 323,38 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-28 1 1 322,73 322,73 322,73 322,73 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-10-31 1 1 329,05 329,05 329,05 329,05 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-01 1 1 330,21 330,21 330,21 330,21 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-02 1 1 332,18 332,18 332,18 332,18 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-03 1 1 337,41 337,41 337,41 337,41 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-04 1 1 337,13 337,13 337,13 337,13 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-07 1 1 338,25 338,25 338,25 338,25 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-08 1 1 336,87 336,87 336,87 336,87 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-09 1 1 336,12 336,12 336,12 336,12 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-10 1 1 338,01 338,01 338,01 338,01 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-11 1 1 341,05 341,05 341,05 341,05 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-14 1 1 342,24 342,24 342,24 342,24 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-15 1 1 342,52 342,52 342,52 342,52 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-16 1 1 342,76 342,76 342,76 342,76 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-17 1 1 346 346 346 346 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-18 1 1 348,36 348,36 348,36 348,36 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-21 1 1 348,78 348,78 348,78 348,78 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-22 1 1 348,45 348,45 348,45 348,45 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-23 1 1 350,26 350,26 350,26 350,26 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-24 1 1 351,3 351,3 351,3 351,3 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-25 1 1 352,29 352,29 352,29 352,29 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-28 1 1 351,95 351,95 351,95 351,95 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-29 1 1 353,56 353,56 353,56 353,56 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-11-30 1 1 353,05 353,05 353,05 353,05 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-01 1 1 355,78 355,78 355,78 355,78 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-02 1 1 357,07 357,07 357,07 357,07 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-05 1 1 357,38 357,38 357,38 357,38 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-06 1 1 361,29 361,29 361,29 361,29 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-07 1 1 362,95 362,95 362,95 362,95 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-08 1 1 363,65 363,65 363,65 363,65 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-12 1 1 367,19 367,19 367,19 367,19 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-13 1 1 369,41 369,41 369,41 369,41 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-14 1 1 368,96 368,96 368,96 368,96 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-15 1 1 368,23 368,23 368,23 368,23 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-16 1 1 371,17 371,17 371,17 371,17 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-19 1 1 371,02 371,02 371,02 371,02 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-20 1 1 370,78 370,78 370,78 370,78 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-21 1 1 373,62 373,62 373,62 373,62 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-22 1 1 376,17 376,17 376,17 376,17 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-23 1 1 377,33 377,33 377,33 377,33 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-27 1 1 379,43 379,43 379,43 379,43 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-28 1 1 379,52 379,52 379,52 379,52 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-29 1 1 382,13 382,13 382,13 382,13 437582 Enter Fonder AB Enter Mobile Internet SEK 2005-12-30 1 1 382,69 382,69 382,69 382,69 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-03 1 1 1047,7 1047,7 1047,7 1047,7 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-04 1 1 1047,73 1047,73 1047,73 1047,73 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-05 1 1 1047,76 1047,76 1047,76 1047,76 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-07 1 1 1047,89 1047,89 1047,89 1047,89 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-10 1 1 1048,03 1048,03 1048,03 1048,03 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-11 1 1 1048,09 1048,09 1048,09 1048,09 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-12 1 1 1048,13 1048,13 1048,13 1048,13 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-13 1 1 1048,19 1048,19 1048,19 1048,19 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-14 1 1 1048,23 1048,23 1048,23 1048,23 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-17 1 1 1048,39 1048,39 1048,39 1048,39 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-18 1 1 1048,45 1048,45 1048,45 1048,45 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-19 1 1 1048,54 1048,54 1048,54 1048,54 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-20 1 1 1048,57 1048,57 1048,57 1048,57 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-21 1 1 1048,69 1048,69 1048,69 1048,69 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-24 1 1 1048,88 1048,88 1048,88 1048,88 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-25 1 1 1048,94 1048,94 1048,94 1048,94 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-26 1 1 1048,98 1048,98 1048,98 1048,98 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-27 1 1 1049,03 1049,03 1049,03 1049,03 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-28 1 1 1049,12 1049,12 1049,12 1049,12 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-01-31 1 1 1049,24 1049,24 1049,24 1049,24 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-01 1 1 1049,3 1049,3 1049,3 1049,3 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-02 1 1 1049,34 1049,34 1049,34 1049,34 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-03 1 1 1049,36 1049,36 1049,36 1049,36 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-04 1 1 1049,42 1049,42 1049,42 1049,42 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-07 1 1 1049,54 1049,54 1049,54 1049,54 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-08 1 1 1049,56 1049,56 1049,56 1049,56 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-09 1 1 1049,64 1049,64 1049,64 1049,64 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-10 1 1 1049,72 1049,72 1049,72 1049,72 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-11 1 1 1049,81 1049,81 1049,81 1049,81 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-14 1 1 1049,9 1049,9 1049,9 1049,9 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-15 1 1 1049,96 1049,96 1049,96 1049,96 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-16 1 1 1050,04 1050,04 1050,04 1050,04 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-17 1 1 1050,15 1050,15 1050,15 1050,15 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-18 1 1 1050,15 1050,15 1050,15 1050,15 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-21 1 1 1050,24 1050,24 1050,24 1050,24 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-22 1 1 1050,3 1050,3 1050,3 1050,3 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-23 1 1 1050,37 1050,37 1050,37 1050,37 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-24 1 1 1050,37 1050,37 1050,37 1050,37 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-25 1 1 1050,41 1050,41 1050,41 1050,41 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-02-28 1 1 1050,59 1050,59 1050,59 1050,59 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-01 1 1 1050,67 1050,67 1050,67 1050,67 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-02 1 1 1050,7 1050,7 1050,7 1050,7 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-03 1 1 1050,78 1050,78 1050,78 1050,78 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-04 1 1 1050,85 1050,85 1050,85 1050,85 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-07 1 1 1051 1051 1051 1051 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-08 1 1 1051,15 1051,15 1051,15 1051,15 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-09 1 1 1051,29 1051,29 1051,29 1051,29 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-10 1 1 1051,34 1051,34 1051,34 1051,34 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-11 1 1 1051,25 1051,25 1051,25 1051,25 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-14 1 1 1051,38 1051,38 1051,38 1051,38 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-15 1 1 1051,41 1051,41 1051,41 1051,41 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-16 1 1 1051,39 1051,39 1051,39 1051,39 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-17 1 1 1051,44 1051,44 1051,44 1051,44 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-18 1 1 1051,44 1051,44 1051,44 1051,44 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-21 1 1 1051,55 1051,55 1051,55 1051,55 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-22 1 1 1051,59 1051,59 1051,59 1051,59 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-23 1 1 1051,59 1051,59 1051,59 1051,59 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-24 1 1 1051,66 1051,66 1051,66 1051,66 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-29 1 1 1051,9 1051,9 1051,9 1051,9 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-30 1 1 1051,97 1051,97 1051,97 1051,97 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-03-31 1 1 1052,04 1052,04 1052,04 1052,04 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-01 1 1 1052,12 1052,12 1052,12 1052,12 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-04 1 1 1052,25 1052,25 1052,25 1052,25 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-05 1 1 1052,28 1052,28 1052,28 1052,28 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-06 1 1 1052,35 1052,35 1052,35 1052,35 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-07 1 1 1052,4 1052,4 1052,4 1052,4 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-08 1 1 1052,44 1052,44 1052,44 1052,44 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-11 1 1 1052,58 1052,58 1052,58 1052,58 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-12 1 1 1052,65 1052,65 1052,65 1052,65 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-13 1 1 1046,82 1046,82 1046,82 1046,82 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-14 1 1 1046,93 1046,93 1046,93 1046,93 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-15 1 1 1047,04 1047,04 1047,04 1047,04 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-18 1 1 1047,21 1047,21 1047,21 1047,21 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-19 1 1 1047,26 1047,26 1047,26 1047,26 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-20 1 1 1047,3 1047,3 1047,3 1047,3 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-21 1 1 1047,33 1047,33 1047,33 1047,33 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-22 1 1 1047,39 1047,39 1047,39 1047,39 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-25 1 1 1047,54 1047,54 1047,54 1047,54 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-26 1 1 1047,63 1047,63 1047,63 1047,63 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-27 1 1 1047,78 1047,78 1047,78 1047,78 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-28 1 1 1047,9 1047,9 1047,9 1047,9 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-04-29 1 1 1048,02 1048,02 1048,02 1048,02 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-02 1 1 1048,27 1048,27 1048,27 1048,27 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-03 1 1 1048,51 1048,51 1048,51 1048,51 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-04 1 1 1048,54 1048,54 1048,54 1048,54 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-06 1 1 1048,59 1048,59 1048,59 1048,59 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-09 1 1 1048,73 1048,73 1048,73 1048,73 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-10 1 1 1048,99 1048,99 1048,99 1048,99 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-11 1 1 1049,01 1049,01 1049,01 1049,01 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-12 1 1 1048,97 1048,97 1048,97 1048,97 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-13 1 1 1049,14 1049,14 1049,14 1049,14 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-16 1 1 1049,3 1049,3 1049,3 1049,3 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-17 1 1 1049,33 1049,33 1049,33 1049,33 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-18 1 1 1049,56 1049,56 1049,56 1049,56 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-19 1 1 1049,64 1049,64 1049,64 1049,64 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-20 1 1 1049,55 1049,55 1049,55 1049,55 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-23 1 1 1049,65 1049,65 1049,65 1049,65 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-24 1 1 1049,65 1049,65 1049,65 1049,65 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-25 1 1 1049,8 1049,8 1049,8 1049,8 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-26 1 1 1049,81 1049,81 1049,81 1049,81 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-27 1 1 1049,82 1049,82 1049,82 1049,82 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-30 1 1 1049,88 1049,88 1049,88 1049,88 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-05-31 1 1 1050,05 1050,05 1050,05 1050,05 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-01 1 1 1050,27 1050,27 1050,27 1050,27 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-02 1 1 1050,32 1050,32 1050,32 1050,32 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-03 1 1 1050,44 1050,44 1050,44 1050,44 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-07 1 1 1050,64 1050,64 1050,64 1050,64 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-08 1 1 1051,19 1051,19 1051,19 1051,19 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-09 1 1 1051,36 1051,36 1051,36 1051,36 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-10 1 1 1051,4 1051,4 1051,4 1051,4 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-13 1 1 1051,59 1051,59 1051,59 1051,59 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-14 1 1 1051,57 1051,57 1051,57 1051,57 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-15 1 1 1051,72 1051,72 1051,72 1051,72 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-16 1 1 1051,84 1051,84 1051,84 1051,84 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-17 1 1 1051,93 1051,93 1051,93 1051,93 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-20 1 1 1052,08 1052,08 1052,08 1052,08 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-21 1 1 1052,63 1052,63 1052,63 1052,63 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-22 1 1 1052,76 1052,76 1052,76 1052,76 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-23 1 1 1052,76 1052,76 1052,76 1052,76 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-27 1 1 1052,88 1052,88 1052,88 1052,88 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-28 1 1 1052,86 1052,86 1052,86 1052,86 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-29 1 1 1052,92 1052,92 1052,92 1052,92 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-06-30 1 1 1052,95 1052,95 1052,95 1052,95 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-01 1 1 1052,99 1052,99 1052,99 1052,99 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-04 1 1 1052,99 1052,99 1052,99 1052,99 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-05 1 1 1053,03 1053,03 1053,03 1053,03 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-06 1 1 1053,08 1053,08 1053,08 1053,08 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-07 1 1 1053,18 1053,18 1053,18 1053,18 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-08 1 1 1053,21 1053,21 1053,21 1053,21 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-11 1 1 1053,27 1053,27 1053,27 1053,27 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-12 1 1 1053,3 1053,3 1053,3 1053,3 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-13 1 1 1053,33 1053,33 1053,33 1053,33 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-14 1 1 1053,36 1053,36 1053,36 1053,36 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-15 1 1 1053,36 1053,36 1053,36 1053,36 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-18 1 1 1053,51 1053,51 1053,51 1053,51 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-19 1 1 1053,54 1053,54 1053,54 1053,54 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-20 1 1 1053,56 1053,56 1053,56 1053,56 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-21 1 1 1053,62 1053,62 1053,62 1053,62 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-22 1 1 1053,67 1053,67 1053,67 1053,67 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-25 1 1 1053,77 1053,77 1053,77 1053,77 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-26 1 1 1053,79 1053,79 1053,79 1053,79 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-27 1 1 1053,83 1053,83 1053,83 1053,83 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-28 1 1 1053,81 1053,81 1053,81 1053,81 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-07-29 1 1 1053,77 1053,77 1053,77 1053,77 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-01 1 1 1053,76 1053,76 1053,76 1053,76 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-02 1 1 1053,73 1053,73 1053,73 1053,73 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-03 1 1 1053,7 1053,7 1053,7 1053,7 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-04 1 1 1053,74 1053,74 1053,74 1053,74 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-05 1 1 1053,74 1053,74 1053,74 1053,74 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-08 1 1 1053,83 1053,83 1053,83 1053,83 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-09 1 1 1053,87 1053,87 1053,87 1053,87 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-10 1 1 1053,93 1053,93 1053,93 1053,93 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-11 1 1 1053,97 1053,97 1053,97 1053,97 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-12 1 1 1054,01 1054,01 1054,01 1054,01 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-15 1 1 1054,12 1054,12 1054,12 1054,12 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-16 1 1 1054,14 1054,14 1054,14 1054,14 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-17 1 1 1054,17 1054,17 1054,17 1054,17 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-18 1 1 1054,22 1054,22 1054,22 1054,22 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-19 1 1 1054,25 1054,25 1054,25 1054,25 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-22 1 1 1054,34 1054,34 1054,34 1054,34 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-23 1 1 1054,38 1054,38 1054,38 1054,38 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-24 1 1 1054,39 1054,39 1054,39 1054,39 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-25 1 1 1054,42 1054,42 1054,42 1054,42 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-26 1 1 1054,41 1054,41 1054,41 1054,41 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-29 1 1 1054,43 1054,43 1054,43 1054,43 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-30 1 1 1054,52 1054,52 1054,52 1054,52 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-08-31 1 1 1054,6 1054,6 1054,6 1054,6 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-01 1 1 1054,69 1054,69 1054,69 1054,69 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-02 1 1 1054,79 1054,79 1054,79 1054,79 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-05 1 1 1054,89 1054,89 1054,89 1054,89 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-06 1 1 1054,91 1054,91 1054,91 1054,91 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-07 1 1 1054,98 1054,98 1054,98 1054,98 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-08 1 1 1055 1055 1055 1055 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-09 1 1 1055,04 1055,04 1055,04 1055,04 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-12 1 1 1055,08 1055,08 1055,08 1055,08 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-13 1 1 1055,1 1055,1 1055,1 1055,1 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-14 1 1 1055,12 1055,12 1055,12 1055,12 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-15 1 1 1055,12 1055,12 1055,12 1055,12 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-16 1 1 1055,15 1055,15 1055,15 1055,15 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-19 1 1 1055,25 1055,25 1055,25 1055,25 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-20 1 1 1055,35 1055,35 1055,35 1055,35 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-21 1 1 1055,41 1055,41 1055,41 1055,41 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-22 1 1 1055,41 1055,41 1055,41 1055,41 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-23 1 1 1055,42 1055,42 1055,42 1055,42 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-26 1 1 1055,48 1055,48 1055,48 1055,48 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-27 1 1 1055,51 1055,51 1055,51 1055,51 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-28 1 1 1055,5 1055,5 1055,5 1055,5 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-29 1 1 1055,43 1055,43 1055,43 1055,43 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-09-30 1 1 1055,37 1055,37 1055,37 1055,37 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-03 1 1 1055,37 1055,37 1055,37 1055,37 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-04 1 1 1055,43 1055,43 1055,43 1055,43 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-05 1 1 1055,48 1055,48 1055,48 1055,48 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-06 1 1 1055,52 1055,52 1055,52 1055,52 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-07 1 1 1055,5 1055,5 1055,5 1055,5 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-10 1 1 1055,57 1055,57 1055,57 1055,57 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-11 1 1 1055,62 1055,62 1055,62 1055,62 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-12 1 1 1055,62 1055,62 1055,62 1055,62 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-13 1 1 1055,81 1055,81 1055,81 1055,81 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-14 1 1 1055,87 1055,87 1055,87 1055,87 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-17 1 1 1055,97 1055,97 1055,97 1055,97 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-18 1 1 1056,02 1056,02 1056,02 1056,02 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-19 1 1 1056,1 1056,1 1056,1 1056,1 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-20 1 1 1056,21 1056,21 1056,21 1056,21 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-21 1 1 1056,25 1056,25 1056,25 1056,25 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-24 1 1 1056,35 1056,35 1056,35 1056,35 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-25 1 1 1056,34 1056,34 1056,34 1056,34 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-26 1 1 1056,31 1056,31 1056,31 1056,31 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-27 1 1 1056,31 1056,31 1056,31 1056,31 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-28 1 1 1056,32 1056,32 1056,32 1056,32 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-10-31 1 1 1056,41 1056,41 1056,41 1056,41 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-01 1 1 1056,48 1056,48 1056,48 1056,48 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-02 1 1 1056,34 1056,34 1056,34 1056,34 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-03 1 1 1056,35 1056,35 1056,35 1056,35 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-04 1 1 1056,34 1056,34 1056,34 1056,34 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-07 1 1 1056,41 1056,41 1056,41 1056,41 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-08 1 1 1056,48 1056,48 1056,48 1056,48 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-09 1 1 1056,44 1056,44 1056,44 1056,44 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-10 1 1 1056,49 1056,49 1056,49 1056,49 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-11 1 1 1056,5 1056,5 1056,5 1056,5 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-14 1 1 1056,62 1056,62 1056,62 1056,62 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-15 1 1 1056,62 1056,62 1056,62 1056,62 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-16 1 1 1056,69 1056,69 1056,69 1056,69 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-17 1 1 1056,67 1056,67 1056,67 1056,67 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-18 1 1 1056,63 1056,63 1056,63 1056,63 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-21 1 1 1056,75 1056,75 1056,75 1056,75 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-22 1 1 1056,79 1056,79 1056,79 1056,79 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-23 1 1 1056,86 1056,86 1056,86 1056,86 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-24 1 1 1056,93 1056,93 1056,93 1056,93 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-25 1 1 1056,91 1056,91 1056,91 1056,91 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-28 1 1 1056,95 1056,95 1056,95 1056,95 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-29 1 1 1056,99 1056,99 1056,99 1056,99 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-11-30 1 1 1056,96 1056,96 1056,96 1056,96 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-01 1 1 1057,01 1057,01 1057,01 1057,01 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-02 1 1 1056,84 1056,84 1056,84 1056,84 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-05 1 1 1056,85 1056,85 1056,85 1056,85 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-06 1 1 1056,77 1056,77 1056,77 1056,77 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-07 1 1 1056,85 1056,85 1056,85 1056,85 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-08 1 1 1056,83 1056,83 1056,83 1056,83 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-12 1 1 1056,97 1056,97 1056,97 1056,97 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-13 1 1 1057,03 1057,03 1057,03 1057,03 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-14 1 1 1057,12 1057,12 1057,12 1057,12 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-15 1 1 1057,14 1057,14 1057,14 1057,14 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-16 1 1 1057,16 1057,16 1057,16 1057,16 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-19 1 1 1057,3 1057,3 1057,3 1057,3 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-20 1 1 1057,35 1057,35 1057,35 1057,35 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-21 1 1 1057,38 1057,38 1057,38 1057,38 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-22 1 1 1057,41 1057,41 1057,41 1057,41 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-23 1 1 1057,45 1057,45 1057,45 1057,45 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-27 1 1 1057,6 1057,6 1057,6 1057,6 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-28 1 1 1057,62 1057,62 1057,62 1057,62 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-29 1 1 1057,64 1057,64 1057,64 1057,64 134593 Enter Fonder AB Enter Penningmarknadsfond SEK 2005-12-30 1 1 1058,37 1058,37 1058,37 1058,37 170423 Enter Fonder AB Enter Sverige SEK 2005-01-03 1 1 905,96 905,96 905,96 905,96 170423 Enter Fonder AB Enter Sverige SEK 2005-01-04 1 1 911,79 911,79 911,79 911,79 170423 Enter Fonder AB Enter Sverige SEK 2005-01-05 1 1 903,58 903,58 903,58 903,58 170423 Enter Fonder AB Enter Sverige SEK 2005-01-07 1 1 905,64 905,64 905,64 905,64 170423 Enter Fonder AB Enter Sverige SEK 2005-01-10 1 1 915,48 915,48 915,48 915,48 170423 Enter Fonder AB Enter Sverige SEK 2005-01-11 1 1 907,04 907,04 907,04 907,04 170423 Enter Fonder AB Enter Sverige SEK 2005-01-12 1 1 894,73 894,73 894,73 894,73 170423 Enter Fonder AB Enter Sverige SEK 2005-01-13 1 1 894,26 894,26 894,26 894,26 170423 Enter Fonder AB Enter Sverige SEK 2005-01-14 1 1 898,12 898,12 898,12 898,12 170423 Enter Fonder AB Enter Sverige SEK 2005-01-17 1 1 900,57 900,57 900,57 900,57 170423 Enter Fonder AB Enter Sverige SEK 2005-01-18 1 1 900,35 900,35 900,35 900,35 170423 Enter Fonder AB Enter Sverige SEK 2005-01-19 1 1 902,14 902,14 902,14 902,14 170423 Enter Fonder AB Enter Sverige SEK 2005-01-20 1 1 892,11 892,11 892,11 892,11 170423 Enter Fonder AB Enter Sverige SEK 2005-01-21 1 1 888,59 888,59 888,59 888,59 170423 Enter Fonder AB Enter Sverige SEK 2005-01-24 1 1 882,6 882,6 882,6 882,6 170423 Enter Fonder AB Enter Sverige SEK 2005-01-25 1 1 890,25 890,25 890,25 890,25 170423 Enter Fonder AB Enter Sverige SEK 2005-01-26 1 1 890,15 890,15 890,15 890,15 170423 Enter Fonder AB Enter Sverige SEK 2005-01-27 1 1 890,12 890,12 890,12 890,12 170423 Enter Fonder AB Enter Sverige SEK 2005-01-28 1 1 884,26 884,26 884,26 884,26 170423 Enter Fonder AB Enter Sverige SEK 2005-01-31 1 1 890,53 890,53 890,53 890,53 170423 Enter Fonder AB Enter Sverige SEK 2005-02-01 1 1 898,97 898,97 898,97 898,97 170423 Enter Fonder AB Enter Sverige SEK 2005-02-02 1 1 905,29 905,29 905,29 905,29 170423 Enter Fonder AB Enter Sverige SEK 2005-02-03 1 1 899,94 899,94 899,94 899,94 170423 Enter Fonder AB Enter Sverige SEK 2005-02-04 1 1 908,19 908,19 908,19 908,19 170423 Enter Fonder AB Enter Sverige SEK 2005-02-07 1 1 918,45 918,45 918,45 918,45 170423 Enter Fonder AB Enter Sverige SEK 2005-02-08 1 1 919,9 919,9 919,9 919,9 170423 Enter Fonder AB Enter Sverige SEK 2005-02-09 1 1 919,71 919,71 919,71 919,71 170423 Enter Fonder AB Enter Sverige SEK 2005-02-10 1 1 908,8 908,8 908,8 908,8 170423 Enter Fonder AB Enter Sverige SEK 2005-02-11 1 1 915,3 915,3 915,3 915,3 170423 Enter Fonder AB Enter Sverige SEK 2005-02-14 1 1 916,54 916,54 916,54 916,54 170423 Enter Fonder AB Enter Sverige SEK 2005-02-15 1 1 925,26 925,26 925,26 925,26 170423 Enter Fonder AB Enter Sverige SEK 2005-02-16 1 1 921,81 921,81 921,81 921,81 170423 Enter Fonder AB Enter Sverige SEK 2005-02-17 1 1 920,66 920,66 920,66 920,66 170423 Enter Fonder AB Enter Sverige SEK 2005-02-18 1 1 913,73 913,73 913,73 913,73 170423 Enter Fonder AB Enter Sverige SEK 2005-02-21 1 1 917,53 917,53 917,53 917,53 170423 Enter Fonder AB Enter Sverige SEK 2005-02-22 1 1 915,59 915,59 915,59 915,59 170423 Enter Fonder AB Enter Sverige SEK 2005-02-23 1 1 918,59 918,59 918,59 918,59 170423 Enter Fonder AB Enter Sverige SEK 2005-02-24 1 1 922,73 922,73 922,73 922,73 170423 Enter Fonder AB Enter Sverige SEK 2005-02-25 1 1 933,39 933,39 933,39 933,39 170423 Enter Fonder AB Enter Sverige SEK 2005-02-28 1 1 934,28 934,28 934,28 934,28 170423 Enter Fonder AB Enter Sverige SEK 2005-03-01 1 1 933,21 933,21 933,21 933,21 170423 Enter Fonder AB Enter Sverige SEK 2005-03-02 1 1 939,21 939,21 939,21 939,21 170423 Enter Fonder AB Enter Sverige SEK 2005-03-03 1 1 940,33 940,33 940,33 940,33 170423 Enter Fonder AB Enter Sverige SEK 2005-03-04 1 1 949,5 949,5 949,5 949,5 170423 Enter Fonder AB Enter Sverige SEK 2005-03-07 1 1 945,98 945,98 945,98 945,98 170423 Enter Fonder AB Enter Sverige SEK 2005-03-08 1 1 940,45 940,45 940,45 940,45 170423 Enter Fonder AB Enter Sverige SEK 2005-03-09 1 1 939,38 939,38 939,38 939,38 170423 Enter Fonder AB Enter Sverige SEK 2005-03-10 1 1 930,69 930,69 930,69 930,69 170423 Enter Fonder AB Enter Sverige SEK 2005-03-11 1 1 936,42 936,42 936,42 936,42 170423 Enter Fonder AB Enter Sverige SEK 2005-03-14 1 1 936,3 936,3 936,3 936,3 170423 Enter Fonder AB Enter Sverige SEK 2005-03-15 1 1 943,24 943,24 943,24 943,24 170423 Enter Fonder AB Enter Sverige SEK 2005-03-16 1 1 931,95 931,95 931,95 931,95 170423 Enter Fonder AB Enter Sverige SEK 2005-03-17 1 1 932,84 932,84 932,84 932,84 170423 Enter Fonder AB Enter Sverige SEK 2005-03-18 1 1 928,59 928,59 928,59 928,59 170423 Enter Fonder AB Enter Sverige SEK 2005-03-21 1 1 922,82 922,82 922,82 922,82 170423 Enter Fonder AB Enter Sverige SEK 2005-03-22 1 1 928,58 928,58 928,58 928,58 170423 Enter Fonder AB Enter Sverige SEK 2005-03-23 1 1 928,79 928,79 928,79 928,79 170423 Enter Fonder AB Enter Sverige SEK 2005-03-24 1 1 932,73 932,73 932,73 932,73 170423 Enter Fonder AB Enter Sverige SEK 2005-03-29 1 1 933,39 933,39 933,39 933,39 170423 Enter Fonder AB Enter Sverige SEK 2005-03-30 1 1 929,42 929,42 929,42 929,42 170423 Enter Fonder AB Enter Sverige SEK 2005-03-31 1 1 933,62 933,62 933,62 933,62 170423 Enter Fonder AB Enter Sverige SEK 2005-04-01 1 1 941,08 941,08 941,08 941,08 170423 Enter Fonder AB Enter Sverige SEK 2005-04-04 1 1 936,4 936,4 936,4 936,4 170423 Enter Fonder AB Enter Sverige SEK 2005-04-05 1 1 946,73 946,73 946,73 946,73 170423 Enter Fonder AB Enter Sverige SEK 2005-04-06 1 1 955,27 955,27 955,27 955,27 170423 Enter Fonder AB Enter Sverige SEK 2005-04-07 1 1 958,31 958,31 958,31 958,31 170423 Enter Fonder AB Enter Sverige SEK 2005-04-08 1 1 960,4 960,4 960,4 960,4 170423 Enter Fonder AB Enter Sverige SEK 2005-04-11 1 1 962,66 962,66 962,66 962,66 170423 Enter Fonder AB Enter Sverige SEK 2005-04-12 1 1 958,13 958,13 958,13 958,13 170423 Enter Fonder AB Enter Sverige SEK 2005-04-13 1 1 964,93 964,93 964,93 964,93 170423 Enter Fonder AB Enter Sverige SEK 2005-04-14 1 1 938,48 938,48 938,48 938,48 170423 Enter Fonder AB Enter Sverige SEK 2005-04-15 1 1 925,2 925,2 925,2 925,2 170423 Enter Fonder AB Enter Sverige SEK 2005-04-18 1 1 907,8 907,8 907,8 907,8 170423 Enter Fonder AB Enter Sverige SEK 2005-04-19 1 1 909,46 909,46 909,46 909,46 170423 Enter Fonder AB Enter Sverige SEK 2005-04-20 1 1 913,91 913,91 913,91 913,91 170423 Enter Fonder AB Enter Sverige SEK 2005-04-21 1 1 913,16 913,16 913,16 913,16 170423 Enter Fonder AB Enter Sverige SEK 2005-04-22 1 1 923,66 923,66 923,66 923,66 170423 Enter Fonder AB Enter Sverige SEK 2005-04-25 1 1 918,62 918,62 918,62 918,62 170423 Enter Fonder AB Enter Sverige SEK 2005-04-26 1 1 913,5 913,5 913,5 913,5 170423 Enter Fonder AB Enter Sverige SEK 2005-04-27 1 1 897,37 897,37 897,37 897,37 170423 Enter Fonder AB Enter Sverige SEK 2005-04-28 1 1 891,24 891,24 891,24 891,24 170423 Enter Fonder AB Enter Sverige SEK 2005-04-29 1 1 894,74 894,74 894,74 894,74 170423 Enter Fonder AB Enter Sverige SEK 2005-05-02 1 1 903,71 903,71 903,71 903,71 170423 Enter Fonder AB Enter Sverige SEK 2005-05-03 1 1 905,23 905,23 905,23 905,23 170423 Enter Fonder AB Enter Sverige SEK 2005-05-04 1 1 906,95 906,95 906,95 906,95 170423 Enter Fonder AB Enter Sverige SEK 2005-05-06 1 1 914,14 914,14 914,14 914,14 170423 Enter Fonder AB Enter Sverige SEK 2005-05-09 1 1 916,72 916,72 916,72 916,72 170423 Enter Fonder AB Enter Sverige SEK 2005-05-10 1 1 910,6 910,6 910,6 910,6 170423 Enter Fonder AB Enter Sverige SEK 2005-05-11 1 1 904,8 904,8 904,8 904,8 170423 Enter Fonder AB Enter Sverige SEK 2005-05-12 1 1 914,26 914,26 914,26 914,26 170423 Enter Fonder AB Enter Sverige SEK 2005-05-13 1 1 916,71 916,71 916,71 916,71 170423 Enter Fonder AB Enter Sverige SEK 2005-05-16 1 1 920,12 920,12 920,12 920,12 170423 Enter Fonder AB Enter Sverige SEK 2005-05-17 1 1 922,26 922,26 922,26 922,26 170423 Enter Fonder AB Enter Sverige SEK 2005-05-18 1 1 928,9 928,9 928,9 928,9 170423 Enter Fonder AB Enter Sverige SEK 2005-05-19 1 1 932,94 932,94 932,94 932,94 170423 Enter Fonder AB Enter Sverige SEK 2005-05-20 1 1 933,36 933,36 933,36 933,36 170423 Enter Fonder AB Enter Sverige SEK 2005-05-23 1 1 935,31 935,31 935,31 935,31 170423 Enter Fonder AB Enter Sverige SEK 2005-05-24 1 1 935,31 935,31 935,31 935,31 170423 Enter Fonder AB Enter Sverige SEK 2005-05-25 1 1 935,19 935,19 935,19 935,19 170423 Enter Fonder AB Enter Sverige SEK 2005-05-26 1 1 944,42 944,42 944,42 944,42 170423 Enter Fonder AB Enter Sverige SEK 2005-05-27 1 1 944,17 944,17 944,17 944,17 170423 Enter Fonder AB Enter Sverige SEK 2005-05-30 1 1 946,88 946,88 946,88 946,88 170423 Enter Fonder AB Enter Sverige SEK 2005-05-31 1 1 945,26 945,26 945,26 945,26 170423 Enter Fonder AB Enter Sverige SEK 2005-06-01 1 1 944,56 944,56 944,56 944,56 170423 Enter Fonder AB Enter Sverige SEK 2005-06-02 1 1 940,79 940,79 940,79 940,79 170423 Enter Fonder AB Enter Sverige SEK 2005-06-03 1 1 939,14 939,14 939,14 939,14 170423 Enter Fonder AB Enter Sverige SEK 2005-06-07 1 1 943,63 943,63 943,63 943,63 170423 Enter Fonder AB Enter Sverige SEK 2005-06-08 1 1 949,51 949,51 949,51 949,51 170423 Enter Fonder AB Enter Sverige SEK 2005-06-09 1 1 947,7 947,7 947,7 947,7 170423 Enter Fonder AB Enter Sverige SEK 2005-06-10 1 1 951,79 951,79 951,79 951,79 170423 Enter Fonder AB Enter Sverige SEK 2005-06-13 1 1 951,73 951,73 951,73 951,73 170423 Enter Fonder AB Enter Sverige SEK 2005-06-14 1 1 957,58 957,58 957,58 957,58 170423 Enter Fonder AB Enter Sverige SEK 2005-06-15 1 1 952,57 952,57 952,57 952,57 170423 Enter Fonder AB Enter Sverige SEK 2005-06-16 1 1 959,07 959,07 959,07 959,07 170423 Enter Fonder AB Enter Sverige SEK 2005-06-17 1 1 957,63 957,63 957,63 957,63 170423 Enter Fonder AB Enter Sverige SEK 2005-06-20 1 1 957,99 957,99 957,99 957,99 170423 Enter Fonder AB Enter Sverige SEK 2005-06-21 1 1 962,46 962,46 962,46 962,46 170423 Enter Fonder AB Enter Sverige SEK 2005-06-22 1 1 961,96 961,96 961,96 961,96 170423 Enter Fonder AB Enter Sverige SEK 2005-06-23 1 1 970,59 970,59 970,59 970,59 170423 Enter Fonder AB Enter Sverige SEK 2005-06-27 1 1 953,37 953,37 953,37 953,37 170423 Enter Fonder AB Enter Sverige SEK 2005-06-28 1 1 957,76 957,76 957,76 957,76 170423 Enter Fonder AB Enter Sverige SEK 2005-06-29 1 1 966,08 966,08 966,08 966,08 170423 Enter Fonder AB Enter Sverige SEK 2005-06-30 1 1 971,22 971,22 971,22 971,22 170423 Enter Fonder AB Enter Sverige SEK 2005-07-01 1 1 976,37 976,37 976,37 976,37 170423 Enter Fonder AB Enter Sverige SEK 2005-07-04 1 1 977,83 977,83 977,83 977,83 170423 Enter Fonder AB Enter Sverige SEK 2005-07-05 1 1 976,53 976,53 976,53 976,53 170423 Enter Fonder AB Enter Sverige SEK 2005-07-06 1 1 976,41 976,41 976,41 976,41 170423 Enter Fonder AB Enter Sverige SEK 2005-07-07 1 1 965,3 965,3 965,3 965,3 170423 Enter Fonder AB Enter Sverige SEK 2005-07-08 1 1 980,87 980,87 980,87 980,87 170423 Enter Fonder AB Enter Sverige SEK 2005-07-11 1 1 996,99 996,99 996,99 996,99 170423 Enter Fonder AB Enter Sverige SEK 2005-07-12 1 1 997,28 997,28 997,28 997,28 170423 Enter Fonder AB Enter Sverige SEK 2005-07-13 1 1 999,13 999,13 999,13 999,13 170423 Enter Fonder AB Enter Sverige SEK 2005-07-14 1 1 994,01 994,01 994,01 994,01 170423 Enter Fonder AB Enter Sverige SEK 2005-07-15 1 1 989,91 989,91 989,91 989,91 170423 Enter Fonder AB Enter Sverige SEK 2005-07-18 1 1 989,76 989,76 989,76 989,76 170423 Enter Fonder AB Enter Sverige SEK 2005-07-19 1 1 993,35 993,35 993,35 993,35 170423 Enter Fonder AB Enter Sverige SEK 2005-07-20 1 1 991,89 991,89 991,89 991,89 170423 Enter Fonder AB Enter Sverige SEK 2005-07-21 1 1 996,16 996,16 996,16 996,16 170423 Enter Fonder AB Enter Sverige SEK 2005-07-22 1 1 999,31 999,31 999,31 999,31 170423 Enter Fonder AB Enter Sverige SEK 2005-07-25 1 1 1000,78 1000,78 1000,78 1000,78 170423 Enter Fonder AB Enter Sverige SEK 2005-07-26 1 1 1002,13 1002,13 1002,13 1002,13 170423 Enter Fonder AB Enter Sverige SEK 2005-07-27 1 1 1004,36 1004,36 1004,36 1004,36 170423 Enter Fonder AB Enter Sverige SEK 2005-07-28 1 1 1008,56 1008,56 1008,56 1008,56 170423 Enter Fonder AB Enter Sverige SEK 2005-07-29 1 1 1010,87 1010,87 1010,87 1010,87 170423 Enter Fonder AB Enter Sverige SEK 2005-08-01 1 1 1012,25 1012,25 1012,25 1012,25 170423 Enter Fonder AB Enter Sverige SEK 2005-08-02 1 1 1020,58 1020,58 1020,58 1020,58 170423 Enter Fonder AB Enter Sverige SEK 2005-08-03 1 1 1021,24 1021,24 1021,24 1021,24 170423 Enter Fonder AB Enter Sverige SEK 2005-08-04 1 1 1015,81 1015,81 1015,81 1015,81 170423 Enter Fonder AB Enter Sverige SEK 2005-08-05 1 1 1013 1013 1013 1013 170423 Enter Fonder AB Enter Sverige SEK 2005-08-08 1 1 1013,53 1013,53 1013,53 1013,53 170423 Enter Fonder AB Enter Sverige SEK 2005-08-09 1 1 1015,94 1015,94 1015,94 1015,94 170423 Enter Fonder AB Enter Sverige SEK 2005-08-10 1 1 1026,18 1026,18 1026,18 1026,18 170423 Enter Fonder AB Enter Sverige SEK 2005-08-11 1 1 1023,42 1023,42 1023,42 1023,42 170423 Enter Fonder AB Enter Sverige SEK 2005-08-12 1 1 1017,58 1017,58 1017,58 1017,58 170423 Enter Fonder AB Enter Sverige SEK 2005-08-15 1 1 1016,88 1016,88 1016,88 1016,88 170423 Enter Fonder AB Enter Sverige SEK 2005-08-16 1 1 1013,86 1013,86 1013,86 1013,86 170423 Enter Fonder AB Enter Sverige SEK 2005-08-17 1 1 1013,72 1013,72 1013,72 1013,72 170423 Enter Fonder AB Enter Sverige SEK 2005-08-18 1 1 1011,98 1011,98 1011,98 1011,98 170423 Enter Fonder AB Enter Sverige SEK 2005-08-19 1 1 1014,46 1014,46 1014,46 1014,46 170423 Enter Fonder AB Enter Sverige SEK 2005-08-22 1 1 1018 1018 1018 1018 170423 Enter Fonder AB Enter Sverige SEK 2005-08-23 1 1 1011,07 1011,07 1011,07 1011,07 170423 Enter Fonder AB Enter Sverige SEK 2005-08-24 1 1 999,17 999,17 999,17 999,17 170423 Enter Fonder AB Enter Sverige SEK 2005-08-25 1 1 987,69 987,69 987,69 987,69 170423 Enter Fonder AB Enter Sverige SEK 2005-08-26 1 1 987,34 987,34 987,34 987,34 170423 Enter Fonder AB Enter Sverige SEK 2005-08-29 1 1 990,12 990,12 990,12 990,12 170423 Enter Fonder AB Enter Sverige SEK 2005-08-30 1 1 991,17 991,17 991,17 991,17 170423 Enter Fonder AB Enter Sverige SEK 2005-08-31 1 1 1001,89 1001,89 1001,89 1001,89 170423 Enter Fonder AB Enter Sverige SEK 2005-09-01 1 1 1006,61 1006,61 1006,61 1006,61 170423 Enter Fonder AB Enter Sverige SEK 2005-09-02 1 1 1005,65 1005,65 1005,65 1005,65 170423 Enter Fonder AB Enter Sverige SEK 2005-09-05 1 1 1009,44 1009,44 1009,44 1009,44 170423 Enter Fonder AB Enter Sverige SEK 2005-09-06 1 1 1017,11 1017,11 1017,11 1017,11 170423 Enter Fonder AB Enter Sverige SEK 2005-09-07 1 1 1020,89 1020,89 1020,89 1020,89 170423 Enter Fonder AB Enter Sverige SEK 2005-09-08 1 1 1019 1019 1019 1019 170423 Enter Fonder AB Enter Sverige SEK 2005-09-09 1 1 1027,51 1027,51 1027,51 1027,51 170423 Enter Fonder AB Enter Sverige SEK 2005-09-12 1 1 1029,86 1029,86 1029,86 1029,86 170423 Enter Fonder AB Enter Sverige SEK 2005-09-13 1 1 1026,19 1026,19 1026,19 1026,19 170423 Enter Fonder AB Enter Sverige SEK 2005-09-14 1 1 1029,26 1029,26 1029,26 1029,26 170423 Enter Fonder AB Enter Sverige SEK 2005-09-15 1 1 1026,77 1026,77 1026,77 1026,77 170423 Enter Fonder AB Enter Sverige SEK 2005-09-16 1 1 1032,18 1032,18 1032,18 1032,18 170423 Enter Fonder AB Enter Sverige SEK 2005-09-19 1 1 1033,09 1033,09 1033,09 1033,09 170423 Enter Fonder AB Enter Sverige SEK 2005-09-20 1 1 1029,67 1029,67 1029,67 1029,67 170423 Enter Fonder AB Enter Sverige SEK 2005-09-21 1 1 1020,57 1020,57 1020,57 1020,57 170423 Enter Fonder AB Enter Sverige SEK 2005-09-22 1 1 1025,15 1025,15 1025,15 1025,15 170423 Enter Fonder AB Enter Sverige SEK 2005-09-23 1 1 1027,14 1027,14 1027,14 1027,14 170423 Enter Fonder AB Enter Sverige SEK 2005-09-26 1 1 1038,59 1038,59 1038,59 1038,59 170423 Enter Fonder AB Enter Sverige SEK 2005-09-27 1 1 1041,26 1041,26 1041,26 1041,26 170423 Enter Fonder AB Enter Sverige SEK 2005-09-28 1 1 1044,27 1044,27 1044,27 1044,27 170423 Enter Fonder AB Enter Sverige SEK 2005-09-29 1 1 1044,89 1044,89 1044,89 1044,89 170423 Enter Fonder AB Enter Sverige SEK 2005-09-30 1 1 1050,56 1050,56 1050,56 1050,56 170423 Enter Fonder AB Enter Sverige SEK 2005-10-03 1 1 1056,66 1056,66 1056,66 1056,66 170423 Enter Fonder AB Enter Sverige SEK 2005-10-04 1 1 1055,31 1055,31 1055,31 1055,31 170423 Enter Fonder AB Enter Sverige SEK 2005-10-05 1 1 1052,45 1052,45 1052,45 1052,45 170423 Enter Fonder AB Enter Sverige SEK 2005-10-06 1 1 1039,79 1039,79 1039,79 1039,79 170423 Enter Fonder AB Enter Sverige SEK 2005-10-07 1 1 1040,21 1040,21 1040,21 1040,21 170423 Enter Fonder AB Enter Sverige SEK 2005-10-10 1 1 1047,86 1047,86 1047,86 1047,86 170423 Enter Fonder AB Enter Sverige SEK 2005-10-11 1 1 1048,14 1048,14 1048,14 1048,14 170423 Enter Fonder AB Enter Sverige SEK 2005-10-12 1 1 1036,15 1036,15 1036,15 1036,15 170423 Enter Fonder AB Enter Sverige SEK 2005-10-13 1 1 1026,5 1026,5 1026,5 1026,5 170423 Enter Fonder AB Enter Sverige SEK 2005-10-14 1 1 1025,89 1025,89 1025,89 1025,89 170423 Enter Fonder AB Enter Sverige SEK 2005-10-17 1 1 1020,91 1020,91 1020,91 1020,91 170423 Enter Fonder AB Enter Sverige SEK 2005-10-18 1 1 1017,15 1017,15 1017,15 1017,15 170423 Enter Fonder AB Enter Sverige SEK 2005-10-19 1 1 1000,47 1000,47 1000,47 1000,47 170423 Enter Fonder AB Enter Sverige SEK 2005-10-20 1 1 1002,24 1002,24 1002,24 1002,24 170423 Enter Fonder AB Enter Sverige SEK 2005-10-21 1 1 996,03 996,03 996,03 996,03 170423 Enter Fonder AB Enter Sverige SEK 2005-10-24 1 1 1010 1010 1010 1010 170423 Enter Fonder AB Enter Sverige SEK 2005-10-25 1 1 1014,15 1014,15 1014,15 1014,15 170423 Enter Fonder AB Enter Sverige SEK 2005-10-26 1 1 1016,89 1016,89 1016,89 1016,89 170423 Enter Fonder AB Enter Sverige SEK 2005-10-27 1 1 1007,31 1007,31 1007,31 1007,31 170423 Enter Fonder AB Enter Sverige SEK 2005-10-28 1 1 1006,71 1006,71 1006,71 1006,71 170423 Enter Fonder AB Enter Sverige SEK 2005-10-31 1 1 1029,38 1029,38 1029,38 1029,38 170423 Enter Fonder AB Enter Sverige SEK 2005-11-01 1 1 1034,87 1034,87 1034,87 1034,87 170423 Enter Fonder AB Enter Sverige SEK 2005-11-02 1 1 1039,35 1039,35 1039,35 1039,35 170423 Enter Fonder AB Enter Sverige SEK 2005-11-03 1 1 1044,72 1044,72 1044,72 1044,72 170423 Enter Fonder AB Enter Sverige SEK 2005-11-04 1 1 1042,29 1042,29 1042,29 1042,29 170423 Enter Fonder AB Enter Sverige SEK 2005-11-07 1 1 1047,24 1047,24 1047,24 1047,24 170423 Enter Fonder AB Enter Sverige SEK 2005-11-08 1 1 1046,36 1046,36 1046,36 1046,36 170423 Enter Fonder AB Enter Sverige SEK 2005-11-09 1 1 1046,01 1046,01 1046,01 1046,01 170423 Enter Fonder AB Enter Sverige SEK 2005-11-10 1 1 1045,37 1045,37 1045,37 1045,37 170423 Enter Fonder AB Enter Sverige SEK 2005-11-11 1 1 1057,54 1057,54 1057,54 1057,54 170423 Enter Fonder AB Enter Sverige SEK 2005-11-14 1 1 1059,64 1059,64 1059,64 1059,64 170423 Enter Fonder AB Enter Sverige SEK 2005-11-15 1 1 1060,19 1060,19 1060,19 1060,19 170423 Enter Fonder AB Enter Sverige SEK 2005-11-16 1 1 1061,35 1061,35 1061,35 1061,35 170423 Enter Fonder AB Enter Sverige SEK 2005-11-17 1 1 1063,2 1063,2 1063,2 1063,2 170423 Enter Fonder AB Enter Sverige SEK 2005-11-18 1 1 1068,56 1068,56 1068,56 1068,56 170423 Enter Fonder AB Enter Sverige SEK 2005-11-21 1 1 1069,85 1069,85 1069,85 1069,85 170423 Enter Fonder AB Enter Sverige SEK 2005-11-22 1 1 1066,56 1066,56 1066,56 1066,56 170423 Enter Fonder AB Enter Sverige SEK 2005-11-23 1 1 1072,67 1072,67 1072,67 1072,67 170423 Enter Fonder AB Enter Sverige SEK 2005-11-24 1 1 1070,13 1070,13 1070,13 1070,13 170423 Enter Fonder AB Enter Sverige SEK 2005-11-25 1 1 1073,76 1073,76 1073,76 1073,76 170423 Enter Fonder AB Enter Sverige SEK 2005-11-28 1 1 1074,58 1074,58 1074,58 1074,58 170423 Enter Fonder AB Enter Sverige SEK 2005-11-29 1 1 1073,79 1073,79 1073,79 1073,79 170423 Enter Fonder AB Enter Sverige SEK 2005-11-30 1 1 1069,05 1069,05 1069,05 1069,05 170423 Enter Fonder AB Enter Sverige SEK 2005-12-01 1 1 1086,12 1086,12 1086,12 1086,12 170423 Enter Fonder AB Enter Sverige SEK 2005-12-02 1 1 1092,62 1092,62 1092,62 1092,62 170423 Enter Fonder AB Enter Sverige SEK 2005-12-05 1 1 1090,03 1090,03 1090,03 1090,03 170423 Enter Fonder AB Enter Sverige SEK 2005-12-06 1 1 1101,38 1101,38 1101,38 1101,38 170423 Enter Fonder AB Enter Sverige SEK 2005-12-07 1 1 1104,6 1104,6 1104,6 1104,6 170423 Enter Fonder AB Enter Sverige SEK 2005-12-08 1 1 1111,32 1111,32 1111,32 1111,32 170423 Enter Fonder AB Enter Sverige SEK 2005-12-12 1 1 1111,88 1111,88 1111,88 1111,88 170423 Enter Fonder AB Enter Sverige SEK 2005-12-13 1 1 1114,8 1114,8 1114,8 1114,8 170423 Enter Fonder AB Enter Sverige SEK 2005-12-14 1 1 1105,65 1105,65 1105,65 1105,65 170423 Enter Fonder AB Enter Sverige SEK 2005-12-15 1 1 1104,43 1104,43 1104,43 1104,43 170423 Enter Fonder AB Enter Sverige SEK 2005-12-16 1 1 1114,04 1114,04 1114,04 1114,04 170423 Enter Fonder AB Enter Sverige SEK 2005-12-19 1 1 1116,67 1116,67 1116,67 1116,67 170423 Enter Fonder AB Enter Sverige SEK 2005-12-20 1 1 1113,66 1113,66 1113,66 1113,66 170423 Enter Fonder AB Enter Sverige SEK 2005-12-21 1 1 1119,19 1119,19 1119,19 1119,19 170423 Enter Fonder AB Enter Sverige SEK 2005-12-22 1 1 1124,42 1124,42 1124,42 1124,42 170423 Enter Fonder AB Enter Sverige SEK 2005-12-23 1 1 1130,71 1130,71 1130,71 1130,71 170423 Enter Fonder AB Enter Sverige SEK 2005-12-27 1 1 1139,18 1139,18 1139,18 1139,18 170423 Enter Fonder AB Enter Sverige SEK 2005-12-28 1 1 1138 1138 1138 1138 170423 Enter Fonder AB Enter Sverige SEK 2005-12-29 1 1 1145,4 1145,4 1145,4 1145,4 170423 Enter Fonder AB Enter Sverige SEK 2005-12-30 1 1 1143,74 1143,74 1143,74 1143,74 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-15 1 1 1273,12 1273,12 1273,12 1273,12 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-16 1 1 1273,14 1273,14 1273,14 1273,14 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-19 1 1 1273,28 1273,28 1273,28 1273,28 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-20 1 1 1273,34 1273,34 1273,34 1273,34 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-21 1 1 1273,38 1273,38 1273,38 1273,38 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-22 1 1 1273,41 1273,41 1273,41 1273,41 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-23 1 1 1273,44 1273,44 1273,44 1273,44 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-27 1 1 1273,6 1273,6 1273,6 1273,6 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-28 1 1 1273,62 1273,62 1273,62 1273,62 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-29 1 1 1273,62 1273,62 1273,62 1273,62 483099 Enter Fonder AB Enter Trend Räntefond SEK 2005-12-30 1 1 1273,75 1273,75 1273,75 1273,75 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-03 1 1 188,36 188,36 188,36 188,36 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-04 1 1 189,82 189,82 189,82 189,82 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-05 1 1 187,72 187,72 187,72 187,72 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-07 1 1 188,41 188,41 188,41 188,41 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-10 1 1 190,77 190,77 190,77 190,77 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-11 1 1 188,35 188,35 188,35 188,35 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-12 1 1 184,96 184,96 184,96 184,96 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-13 1 1 185,73 185,73 185,73 185,73 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-14 1 1 187,04 187,04 187,04 187,04 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-17 1 1 188,31 188,31 188,31 188,31 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-18 1 1 187,92 187,92 187,92 187,92 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-19 1 1 187,9 187,9 187,9 187,9 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-20 1 1 185,58 185,58 185,58 185,58 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-21 1 1 185,13 185,13 185,13 185,13 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-24 1 1 183,23 183,23 183,23 183,23 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-25 1 1 185,4 185,4 185,4 185,4 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-26 1 1 185,53 185,53 185,53 185,53 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-27 1 1 186,81 186,81 186,81 186,81 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-28 1 1 185,15 185,15 185,15 185,15 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-01-31 1 1 186,7 186,7 186,7 186,7 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-01 1 1 188,85 188,85 188,85 188,85 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-02 1 1 184,3 184,3 184,3 184,3 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-03 1 1 183,33 183,33 183,33 183,33 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-04 1 1 184,66 184,66 184,66 184,66 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-07 1 1 187,11 187,11 187,11 187,11 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-08 1 1 186,45 186,45 186,45 186,45 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-09 1 1 188,08 188,08 188,08 188,08 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-10 1 1 184,81 184,81 184,81 184,81 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-11 1 1 187,53 187,53 187,53 187,53 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-14 1 1 187,18 187,18 187,18 187,18 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-15 1 1 188,4 188,4 188,4 188,4 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-16 1 1 186,97 186,97 186,97 186,97 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-17 1 1 186,86 186,86 186,86 186,86 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-18 1 1 185,37 185,37 185,37 185,37 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-21 1 1 186,05 186,05 186,05 186,05 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-22 1 1 185,51 185,51 185,51 185,51 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-23 1 1 185,63 185,63 185,63 185,63 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-24 1 1 186,23 186,23 186,23 186,23 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-25 1 1 188,25 188,25 188,25 188,25 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-02-28 1 1 188,26 188,26 188,26 188,26 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-01 1 1 188,77 188,77 188,77 188,77 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-02 1 1 189,84 189,84 189,84 189,84 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-03 1 1 189,6 189,6 189,6 189,6 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-04 1 1 191,69 191,69 191,69 191,69 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-07 1 1 190,79 190,79 190,79 190,79 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-08 1 1 189,64 189,64 189,64 189,64 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-09 1 1 189,61 189,61 189,61 189,61 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-10 1 1 187,42 187,42 187,42 187,42 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-11 1 1 188,53 188,53 188,53 188,53 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-14 1 1 189,04 189,04 189,04 189,04 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-15 1 1 190,25 190,25 190,25 190,25 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-16 1 1 187,1 187,1 187,1 187,1 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-17 1 1 187,38 187,38 187,38 187,38 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-18 1 1 186,81 186,81 186,81 186,81 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-21 1 1 185,81 185,81 185,81 185,81 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-22 1 1 187,3 187,3 187,3 187,3 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-23 1 1 188,01 188,01 188,01 188,01 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-24 1 1 188,34 188,34 188,34 188,34 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-29 1 1 188,47 188,47 188,47 188,47 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-30 1 1 188,08 188,08 188,08 188,08 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-03-31 1 1 188,3 188,3 188,3 188,3 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-01 1 1 190,31 190,31 190,31 190,31 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-04 1 1 189,52 189,52 189,52 189,52 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-05 1 1 191,64 191,64 191,64 191,64 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-06 1 1 193,2 193,2 193,2 193,2 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-07 1 1 193,28 193,28 193,28 193,28 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-08 1 1 194,25 194,25 194,25 194,25 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-11 1 1 195,22 195,22 195,22 195,22 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-12 1 1 194,21 194,21 194,21 194,21 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-13 1 1 195,56 195,56 195,56 195,56 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-14 1 1 196,93 196,93 196,93 196,93 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-15 1 1 194,02 194,02 194,02 194,02 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-18 1 1 191,2 191,2 191,2 191,2 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-19 1 1 191,45 191,45 191,45 191,45 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-20 1 1 191,36 191,36 191,36 191,36 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-21 1 1 192,1 192,1 192,1 192,1 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-22 1 1 195,06 195,06 195,06 195,06 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-25 1 1 195,1 195,1 195,1 195,1 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-26 1 1 193,65 193,65 193,65 193,65 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-27 1 1 189,35 189,35 189,35 189,35 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-28 1 1 187,55 187,55 187,55 187,55 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-04-29 1 1 187,8 187,8 187,8 187,8 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-02 1 1 189,46 189,46 189,46 189,46 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-03 1 1 189,94 189,94 189,94 189,94 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-04 1 1 190,01 190,01 190,01 190,01 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-06 1 1 192,35 192,35 192,35 192,35 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-09 1 1 192,99 192,99 192,99 192,99 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-10 1 1 192,31 192,31 192,31 192,31 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-11 1 1 191,41 191,41 191,41 191,41 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-12 1 1 193,52 193,52 193,52 193,52 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-13 1 1 194,72 194,72 194,72 194,72 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-16 1 1 194,66 194,66 194,66 194,66 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-17 1 1 195,06 195,06 195,06 195,06 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-18 1 1 196,39 196,39 196,39 196,39 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-19 1 1 197,24 197,24 197,24 197,24 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-20 1 1 197,11 197,11 197,11 197,11 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-23 1 1 197,09 197,09 197,09 197,09 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-24 1 1 197,16 197,16 197,16 197,16 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-25 1 1 196,79 196,79 196,79 196,79 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-26 1 1 198,51 198,51 198,51 198,51 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-27 1 1 198,66 198,66 198,66 198,66 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-30 1 1 199,42 199,42 199,42 199,42 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-05-31 1 1 199,06 199,06 199,06 199,06 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-01 1 1 199,83 199,83 199,83 199,83 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-02 1 1 198,43 198,43 198,43 198,43 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-03 1 1 197,83 197,83 197,83 197,83 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-07 1 1 199,29 199,29 199,29 199,29 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-08 1 1 200,08 200,08 200,08 200,08 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-09 1 1 199,57 199,57 199,57 199,57 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-10 1 1 200,81 200,81 200,81 200,81 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-13 1 1 201,2 201,2 201,2 201,2 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-14 1 1 202,8 202,8 202,8 202,8 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-15 1 1 202,01 202,01 202,01 202,01 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-16 1 1 203,35 203,35 203,35 203,35 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-17 1 1 203,05 203,05 203,05 203,05 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-20 1 1 203,85 203,85 203,85 203,85 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-21 1 1 205,47 205,47 205,47 205,47 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-22 1 1 205,6 205,6 205,6 205,6 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-23 1 1 207,93 207,93 207,93 207,93 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-27 1 1 203,33 203,33 203,33 203,33 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-28 1 1 204,41 204,41 204,41 204,41 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-29 1 1 206,15 206,15 206,15 206,15 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-06-30 1 1 206,46 206,46 206,46 206,46 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-01 1 1 208,37 208,37 208,37 208,37 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-04 1 1 208,91 208,91 208,91 208,91 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-05 1 1 208,33 208,33 208,33 208,33 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-06 1 1 208,71 208,71 208,71 208,71 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-07 1 1 205,45 205,45 205,45 205,45 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-08 1 1 208,87 208,87 208,87 208,87 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-11 1 1 212,22 212,22 212,22 212,22 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-12 1 1 211,75 211,75 211,75 211,75 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-13 1 1 213,34 213,34 213,34 213,34 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-14 1 1 213,27 213,27 213,27 213,27 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-15 1 1 212,91 212,91 212,91 212,91 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-18 1 1 213,22 213,22 213,22 213,22 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-19 1 1 213,91 213,91 213,91 213,91 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-20 1 1 212,48 212,48 212,48 212,48 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-21 1 1 213,97 213,97 213,97 213,97 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-22 1 1 213,9 213,9 213,9 213,9 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-25 1 1 213,86 213,86 213,86 213,86 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-26 1 1 214,39 214,39 214,39 214,39 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-27 1 1 216,13 216,13 216,13 216,13 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-28 1 1 216,71 216,71 216,71 216,71 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-07-29 1 1 216,71 216,71 216,71 216,71 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-01 1 1 216,49 216,49 216,49 216,49 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-02 1 1 218,46 218,46 218,46 218,46 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-03 1 1 218,05 218,05 218,05 218,05 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-04 1 1 216,62 216,62 216,62 216,62 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-05 1 1 215,96 215,96 215,96 215,96 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-08 1 1 215,98 215,98 215,98 215,98 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-09 1 1 216,65 216,65 216,65 216,65 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-10 1 1 219,55 219,55 219,55 219,55 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-11 1 1 218,37 218,37 218,37 218,37 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-12 1 1 217,54 217,54 217,54 217,54 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-15 1 1 217,65 217,65 217,65 217,65 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-16 1 1 217,2 217,2 217,2 217,2 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-17 1 1 216,15 216,15 216,15 216,15 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-18 1 1 216,16 216,16 216,16 216,16 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-19 1 1 217,43 217,43 217,43 217,43 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-22 1 1 217,54 217,54 217,54 217,54 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-23 1 1 215,61 215,61 215,61 215,61 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-24 1 1 213,17 213,17 213,17 213,17 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-25 1 1 210,78 210,78 210,78 210,78 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-26 1 1 209,26 209,26 209,26 209,26 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-29 1 1 211,05 211,05 211,05 211,05 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-30 1 1 210,36 210,36 210,36 210,36 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-08-31 1 1 213,16 213,16 213,16 213,16 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-01 1 1 213,75 213,75 213,75 213,75 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-02 1 1 214,19 214,19 214,19 214,19 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-05 1 1 214,82 214,82 214,82 214,82 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-06 1 1 215,86 215,86 215,86 215,86 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-07 1 1 216,65 216,65 216,65 216,65 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-08 1 1 215,96 215,96 215,96 215,96 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-09 1 1 217,99 217,99 217,99 217,99 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-12 1 1 218,15 218,15 218,15 218,15 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-13 1 1 218,04 218,04 218,04 218,04 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-14 1 1 218,99 218,99 218,99 218,99 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-15 1 1 218,09 218,09 218,09 218,09 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-16 1 1 218,83 218,83 218,83 218,83 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-19 1 1 218,81 218,81 218,81 218,81 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-20 1 1 218,88 218,88 218,88 218,88 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-21 1 1 216,72 216,72 216,72 216,72 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-22 1 1 217,68 217,68 217,68 217,68 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-23 1 1 218,21 218,21 218,21 218,21 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-26 1 1 221,39 221,39 221,39 221,39 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-27 1 1 221,37 221,37 221,37 221,37 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-28 1 1 223,27 223,27 223,27 223,27 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-29 1 1 223,42 223,42 223,42 223,42 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-09-30 1 1 224,74 224,74 224,74 224,74 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-03 1 1 227,01 227,01 227,01 227,01 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-04 1 1 226,36 226,36 226,36 226,36 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-05 1 1 225,28 225,28 225,28 225,28 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-06 1 1 223,05 223,05 223,05 223,05 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-07 1 1 222,7 222,7 222,7 222,7 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-10 1 1 223,67 223,67 223,67 223,67 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-11 1 1 223,77 223,77 223,77 223,77 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-12 1 1 221,33 221,33 221,33 221,33 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-13 1 1 219,12 219,12 219,12 219,12 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-14 1 1 219,71 219,71 219,71 219,71 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-17 1 1 218,84 218,84 218,84 218,84 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-18 1 1 218,13 218,13 218,13 218,13 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-19 1 1 214,74 214,74 214,74 214,74 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-20 1 1 215,29 215,29 215,29 215,29 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-21 1 1 214,26 214,26 214,26 214,26 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-24 1 1 216,48 216,48 216,48 216,48 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-25 1 1 218,29 218,29 218,29 218,29 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-26 1 1 218,82 218,82 218,82 218,82 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-27 1 1 216,3 216,3 216,3 216,3 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-28 1 1 216,25 216,25 216,25 216,25 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-10-31 1 1 221,23 221,23 221,23 221,23 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-01 1 1 222,02 222,02 222,02 222,02 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-02 1 1 222,73 222,73 222,73 222,73 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-03 1 1 225,12 225,12 225,12 225,12 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-04 1 1 224,72 224,72 224,72 224,72 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-07 1 1 225,95 225,95 225,95 225,95 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-08 1 1 225,38 225,38 225,38 225,38 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-09 1 1 225,8 225,8 225,8 225,8 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-10 1 1 225,71 225,71 225,71 225,71 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-11 1 1 229,07 229,07 229,07 229,07 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-14 1 1 229,12 229,12 229,12 229,12 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-15 1 1 228,42 228,42 228,42 228,42 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-16 1 1 228,65 228,65 228,65 228,65 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-17 1 1 229,13 229,13 229,13 229,13 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-18 1 1 230,27 230,27 230,27 230,27 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-21 1 1 231,2 231,2 231,2 231,2 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-22 1 1 229,72 229,72 229,72 229,72 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-23 1 1 230,94 230,94 230,94 230,94 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-24 1 1 229,91 229,91 229,91 229,91 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-25 1 1 230,42 230,42 230,42 230,42 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-28 1 1 230,94 230,94 230,94 230,94 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-29 1 1 230,32 230,32 230,32 230,32 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-11-30 1 1 228,28 228,28 228,28 228,28 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-01 1 1 232,27 232,27 232,27 232,27 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-02 1 1 233,89 233,89 233,89 233,89 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-05 1 1 232,21 232,21 232,21 232,21 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-06 1 1 234,48 234,48 234,48 234,48 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-07 1 1 234,65 234,65 234,65 234,65 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-08 1 1 236,2 236,2 236,2 236,2 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-12 1 1 235,5 235,5 235,5 235,5 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-13 1 1 236,12 236,12 236,12 236,12 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-14 1 1 234,7 234,7 234,7 234,7 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-15 1 1 234,12 234,12 234,12 234,12 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-16 1 1 236,3 236,3 236,3 236,3 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-19 1 1 236,33 236,33 236,33 236,33 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-20 1 1 236,33 236,33 236,33 236,33 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-21 1 1 237,71 237,71 237,71 237,71 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-22 1 1 238,21 238,21 238,21 238,21 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-23 1 1 239,98 239,98 239,98 239,98 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-27 1 1 241,51 241,51 241,51 241,51 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-28 1 1 240,63 240,63 240,63 240,63 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-29 1 1 242,03 242,03 242,03 242,03 661124 Erik Penser Fonder AB EP Aktieindexfond Sverige SEK 2005-12-30 1 1 240,35 240,35 240,35 240,35 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-03 1 1 1031,32 1031,32 1031,32 1031,32 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-04 1 1 1031,36 1031,36 1031,36 1031,36 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-05 1 1 1031,45 1031,45 1031,45 1031,45 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-07 1 1 1031,6 1031,6 1031,6 1031,6 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-10 1 1 1031,63 1031,63 1031,63 1031,63 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-11 1 1 1031,68 1031,68 1031,68 1031,68 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-12 1 1 1031,73 1031,73 1031,73 1031,73 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-13 1 1 1031,78 1031,78 1031,78 1031,78 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-14 1 1 1031,83 1031,83 1031,83 1031,83 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-17 1 1 1031,98 1031,98 1031,98 1031,98 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-18 1 1 1032,02 1032,02 1032,02 1032,02 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-19 1 1 1032,08 1032,08 1032,08 1032,08 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-20 1 1 1032,13 1032,13 1032,13 1032,13 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-21 1 1 1032,18 1032,18 1032,18 1032,18 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-24 1 1 1032,33 1032,33 1032,33 1032,33 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-25 1 1 1032,38 1032,38 1032,38 1032,38 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-26 1 1 1032,43 1032,43 1032,43 1032,43 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-27 1 1 1032,47 1032,47 1032,47 1032,47 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-28 1 1 1032,52 1032,52 1032,52 1032,52 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-01-31 1 1 1032,67 1032,67 1032,67 1032,67 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-01 1 1 1032,72 1032,72 1032,72 1032,72 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-02 1 1 1032,77 1032,77 1032,77 1032,77 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-03 1 1 1032,81 1032,81 1032,81 1032,81 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-04 1 1 1032,97 1032,97 1032,97 1032,97 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-07 1 1 1032,99 1032,99 1032,99 1032,99 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-08 1 1 1033,04 1033,04 1033,04 1033,04 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-09 1 1 1033,08 1033,08 1033,08 1033,08 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-10 1 1 1033,13 1033,13 1033,13 1033,13 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-11 1 1 1033,3 1033,3 1033,3 1033,3 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-14 1 1 1033,33 1033,33 1033,33 1033,33 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-15 1 1 1033,37 1033,37 1033,37 1033,37 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-16 1 1 1020,94 1020,94 1020,94 1020,94 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-17 1 1 1021 1021 1021 1021 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-18 1 1 1021,09 1021,09 1021,09 1021,09 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-21 1 1 1021,14 1021,14 1021,14 1021,14 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-22 1 1 1021,18 1021,18 1021,18 1021,18 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-23 1 1 1021,23 1021,23 1021,23 1021,23 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-24 1 1 1021,27 1021,27 1021,27 1021,27 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-25 1 1 1021,42 1021,42 1021,42 1021,42 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-02-28 1 1 1021,46 1021,46 1021,46 1021,46 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-01 1 1 1021,5 1021,5 1021,5 1021,5 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-02 1 1 1021,55 1021,55 1021,55 1021,55 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-03 1 1 1021,6 1021,6 1021,6 1021,6 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-04 1 1 1021,76 1021,76 1021,76 1021,76 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-07 1 1 1021,79 1021,79 1021,79 1021,79 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-08 1 1 1021,86 1021,86 1021,86 1021,86 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-09 1 1 1021,94 1021,94 1021,94 1021,94 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-10 1 1 1021,98 1021,98 1021,98 1021,98 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-11 1 1 1022,1 1022,1 1022,1 1022,1 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-14 1 1 1022,12 1022,12 1022,12 1022,12 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-15 1 1 1022,15 1022,15 1022,15 1022,15 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-16 1 1 1022,17 1022,17 1022,17 1022,17 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-17 1 1 1022,22 1022,22 1022,22 1022,22 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-18 1 1 1022,37 1022,37 1022,37 1022,37 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-21 1 1 1022,35 1022,35 1022,35 1022,35 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-22 1 1 1022,4 1022,4 1022,4 1022,4 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-23 1 1 1022,42 1022,42 1022,42 1022,42 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-24 1 1 1022,46 1022,46 1022,46 1022,46 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-29 1 1 1022,69 1022,69 1022,69 1022,69 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-30 1 1 1022,74 1022,74 1022,74 1022,74 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-03-31 1 1 1022,79 1022,79 1022,79 1022,79 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-01 1 1 1022,85 1022,85 1022,85 1022,85 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-04 1 1 1022,98 1022,98 1022,98 1022,98 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-05 1 1 1023,02 1023,02 1023,02 1023,02 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-06 1 1 1023,07 1023,07 1023,07 1023,07 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-07 1 1 1023,12 1023,12 1023,12 1023,12 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-08 1 1 1023,27 1023,27 1023,27 1023,27 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-11 1 1 1023,31 1023,31 1023,31 1023,31 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-12 1 1 1023,35 1023,35 1023,35 1023,35 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-13 1 1 1023,41 1023,41 1023,41 1023,41 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-14 1 1 1023,46 1023,46 1023,46 1023,46 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-15 1 1 1023,53 1023,53 1023,53 1023,53 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-18 1 1 1023,7 1023,7 1023,7 1023,7 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-19 1 1 1023,72 1023,72 1023,72 1023,72 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-20 1 1 1023,77 1023,77 1023,77 1023,77 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-21 1 1 1023,81 1023,81 1023,81 1023,81 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-22 1 1 1023,86 1023,86 1023,86 1023,86 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-25 1 1 1023,99 1023,99 1023,99 1023,99 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-26 1 1 1024,05 1024,05 1024,05 1024,05 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-27 1 1 1024,11 1024,11 1024,11 1024,11 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-28 1 1 1024,18 1024,18 1024,18 1024,18 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-04-29 1 1 1024,26 1024,26 1024,26 1024,26 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-02 1 1 1024,43 1024,43 1024,43 1024,43 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-03 1 1 1024,54 1024,54 1024,54 1024,54 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-04 1 1 1024,63 1024,63 1024,63 1024,63 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-06 1 1 1024,78 1024,78 1024,78 1024,78 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-09 1 1 1024,81 1024,81 1024,81 1024,81 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-10 1 1 1024,91 1024,91 1024,91 1024,91 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-11 1 1 1024,95 1024,95 1024,95 1024,95 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-12 1 1 1024,98 1024,98 1024,98 1024,98 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-13 1 1 1025,05 1025,05 1025,05 1025,05 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-16 1 1 1025,21 1025,21 1025,21 1025,21 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-17 1 1 1025,24 1025,24 1025,24 1025,24 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-18 1 1 1025,33 1025,33 1025,33 1025,33 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-19 1 1 1025,38 1025,38 1025,38 1025,38 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-20 1 1 1025,37 1025,37 1025,37 1025,37 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-23 1 1 1025,52 1025,52 1025,52 1025,52 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-24 1 1 1025,58 1025,58 1025,58 1025,58 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-25 1 1 1025,62 1025,62 1025,62 1025,62 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-26 1 1 1025,64 1025,64 1025,64 1025,64 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-27 1 1 1025,69 1025,69 1025,69 1025,69 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-30 1 1 1025,79 1025,79 1025,79 1025,79 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-05-31 1 1 1025,87 1025,87 1025,87 1025,87 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-01 1 1 1025,96 1025,96 1025,96 1025,96 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-02 1 1 1026,02 1026,02 1026,02 1026,02 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-03 1 1 1026,25 1026,25 1026,25 1026,25 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-07 1 1 1026,27 1026,27 1026,27 1026,27 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-08 1 1 1026,54 1026,54 1026,54 1026,54 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-09 1 1 1026,64 1026,64 1026,64 1026,64 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-10 1 1 1026,69 1026,69 1026,69 1026,69 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-13 1 1 1026,84 1026,84 1026,84 1026,84 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-14 1 1 1026,85 1026,85 1026,85 1026,85 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-15 1 1 1026,95 1026,95 1026,95 1026,95 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-16 1 1 1027,05 1027,05 1027,05 1027,05 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-17 1 1 1027,11 1027,11 1027,11 1027,11 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-20 1 1 1027,21 1027,21 1027,21 1027,21 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-21 1 1 1027,52 1027,52 1027,52 1027,52 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-22 1 1 1027,58 1027,58 1027,58 1027,58 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-23 1 1 1027,6 1027,6 1027,6 1027,6 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-27 1 1 1027,73 1027,73 1027,73 1027,73 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-28 1 1 1027,77 1027,77 1027,77 1027,77 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-29 1 1 1027,8 1027,8 1027,8 1027,8 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-06-30 1 1 1027,83 1027,83 1027,83 1027,83 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-01 1 1 1027,86 1027,86 1027,86 1027,86 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-04 1 1 1027,95 1027,95 1027,95 1027,95 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-05 1 1 1027,98 1027,98 1027,98 1027,98 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-06 1 1 1028,02 1028,02 1028,02 1028,02 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-07 1 1 1028,07 1028,07 1028,07 1028,07 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-08 1 1 1028,1 1028,1 1028,1 1028,1 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-11 1 1 1028,19 1028,19 1028,19 1028,19 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-12 1 1 1028,22 1028,22 1028,22 1028,22 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-13 1 1 1028,25 1028,25 1028,25 1028,25 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-14 1 1 1028,28 1028,28 1028,28 1028,28 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-15 1 1 1028,31 1028,31 1028,31 1028,31 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-18 1 1 1028,44 1028,44 1028,44 1028,44 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-19 1 1 1028,47 1028,47 1028,47 1028,47 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-20 1 1 1028,49 1028,49 1028,49 1028,49 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-21 1 1 1028,52 1028,52 1028,52 1028,52 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-22 1 1 1028,56 1028,56 1028,56 1028,56 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-25 1 1 1028,67 1028,67 1028,67 1028,67 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-26 1 1 1028,7 1028,7 1028,7 1028,7 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-27 1 1 1028,73 1028,73 1028,73 1028,73 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-28 1 1 1028,75 1028,75 1028,75 1028,75 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-07-29 1 1 1028,78 1028,78 1028,78 1028,78 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-01 1 1 1028,85 1028,85 1028,85 1028,85 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-02 1 1 1028,86 1028,86 1028,86 1028,86 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-03 1 1 1028,89 1028,89 1028,89 1028,89 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-04 1 1 1028,92 1028,92 1028,92 1028,92 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-05 1 1 1028,95 1028,95 1028,95 1028,95 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-08 1 1 1029,04 1029,04 1029,04 1029,04 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-09 1 1 1029,08 1029,08 1029,08 1029,08 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-10 1 1 1029,11 1029,11 1029,11 1029,11 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-11 1 1 1029,15 1029,15 1029,15 1029,15 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-12 1 1 1029,18 1029,18 1029,18 1029,18 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-15 1 1 1029,28 1029,28 1029,28 1029,28 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-16 1 1 1029,31 1029,31 1029,31 1029,31 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-17 1 1 1029,32 1029,32 1029,32 1029,32 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-18 1 1 1029,35 1029,35 1029,35 1029,35 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-19 1 1 1029,38 1029,38 1029,38 1029,38 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-22 1 1 1029,48 1029,48 1029,48 1029,48 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-23 1 1 1029,52 1029,52 1029,52 1029,52 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-24 1 1 1029,55 1029,55 1029,55 1029,55 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-25 1 1 1029,58 1029,58 1029,58 1029,58 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-26 1 1 1029,61 1029,61 1029,61 1029,61 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-29 1 1 1029,7 1029,7 1029,7 1029,7 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-30 1 1 1029,73 1029,73 1029,73 1029,73 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-08-31 1 1 1029,76 1029,76 1029,76 1029,76 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-01 1 1 1029,81 1029,81 1029,81 1029,81 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-02 1 1 1029,94 1029,94 1029,94 1029,94 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-05 1 1 1029,95 1029,95 1029,95 1029,95 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-06 1 1 1029,99 1029,99 1029,99 1029,99 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-07 1 1 1030,01 1030,01 1030,01 1030,01 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-08 1 1 1030,04 1030,04 1030,04 1030,04 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-09 1 1 1030,08 1030,08 1030,08 1030,08 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-12 1 1 1030,17 1030,17 1030,17 1030,17 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-13 1 1 1030,2 1030,2 1030,2 1030,2 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-14 1 1 1030,23 1030,23 1030,23 1030,23 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-15 1 1 1030,26 1030,26 1030,26 1030,26 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-16 1 1 1030,29 1030,29 1030,29 1030,29 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-19 1 1 1030,4 1030,4 1030,4 1030,4 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-20 1 1 1030,43 1030,43 1030,43 1030,43 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-21 1 1 1030,47 1030,47 1030,47 1030,47 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-22 1 1 1030,5 1030,5 1030,5 1030,5 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-23 1 1 1030,53 1030,53 1030,53 1030,53 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-26 1 1 1030,62 1030,62 1030,62 1030,62 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-27 1 1 1030,65 1030,65 1030,65 1030,65 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-28 1 1 1030,68 1030,68 1030,68 1030,68 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-29 1 1 1030,69 1030,69 1030,69 1030,69 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-09-30 1 1 1030,7 1030,7 1030,7 1030,7 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-03 1 1 1030,76 1030,76 1030,76 1030,76 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-04 1 1 1030,79 1030,79 1030,79 1030,79 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-05 1 1 1030,83 1030,83 1030,83 1030,83 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-06 1 1 1030,86 1030,86 1030,86 1030,86 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-07 1 1 1030,88 1030,88 1030,88 1030,88 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-10 1 1 1030,97 1030,97 1030,97 1030,97 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-11 1 1 1031,02 1031,02 1031,02 1031,02 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-12 1 1 1031,05 1031,05 1031,05 1031,05 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-13 1 1 1031,12 1031,12 1031,12 1031,12 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-14 1 1 1031,17 1031,17 1031,17 1031,17 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-17 1 1 1031,27 1031,27 1031,27 1031,27 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-18 1 1 1031,29 1031,29 1031,29 1031,29 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-19 1 1 1031,34 1031,34 1031,34 1031,34 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-20 1 1 1031,4 1031,4 1031,4 1031,4 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-21 1 1 1031,44 1031,44 1031,44 1031,44 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-24 1 1 1031,54 1031,54 1031,54 1031,54 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-25 1 1 1031,54 1031,54 1031,54 1031,54 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-26 1 1 1031,54 1031,54 1031,54 1031,54 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-27 1 1 1031,57 1031,57 1031,57 1031,57 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-28 1 1 1031,59 1031,59 1031,59 1031,59 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-10-31 1 1 1031,69 1031,69 1031,69 1031,69 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-01 1 1 1031,71 1031,71 1031,71 1031,71 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-02 1 1 1031,72 1031,72 1031,72 1031,72 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-03 1 1 1031,75 1031,75 1031,75 1031,75 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-04 1 1 1031,76 1031,76 1031,76 1031,76 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-07 1 1 1031,84 1031,84 1031,84 1031,84 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-08 1 1 1031,87 1031,87 1031,87 1031,87 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-09 1 1 1031,9 1031,9 1031,9 1031,9 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-10 1 1 1031,94 1031,94 1031,94 1031,94 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-11 1 1 1031,97 1031,97 1031,97 1031,97 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-14 1 1 1032,08 1032,08 1032,08 1032,08 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-15 1 1 1032,08 1032,08 1032,08 1032,08 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-16 1 1 1032,12 1032,12 1032,12 1032,12 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-17 1 1 1032,15 1032,15 1032,15 1032,15 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-18 1 1 1032,15 1032,15 1032,15 1032,15 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-21 1 1 1032,25 1032,25 1032,25 1032,25 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-22 1 1 1032,29 1032,29 1032,29 1032,29 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-23 1 1 1032,35 1032,35 1032,35 1032,35 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-24 1 1 1032,39 1032,39 1032,39 1032,39 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-25 1 1 1032,36 1032,36 1032,36 1032,36 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-28 1 1 1032,44 1032,44 1032,44 1032,44 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-29 1 1 1032,47 1032,47 1032,47 1032,47 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-11-30 1 1 1032,48 1032,48 1032,48 1032,48 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-01 1 1 1032,52 1032,52 1032,52 1032,52 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-02 1 1 1032,52 1032,52 1032,52 1032,52 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-05 1 1 1032,49 1032,49 1032,49 1032,49 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-06 1 1 1032,48 1032,48 1032,48 1032,48 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-07 1 1 1032,53 1032,53 1032,53 1032,53 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-08 1 1 1032,55 1032,55 1032,55 1032,55 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-12 1 1 1032,68 1032,68 1032,68 1032,68 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-13 1 1 1032,72 1032,72 1032,72 1032,72 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-14 1 1 1032,78 1032,78 1032,78 1032,78 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-15 1 1 1032,82 1032,82 1032,82 1032,82 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-16 1 1 1032,86 1032,86 1032,86 1032,86 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-19 1 1 1032,95 1032,95 1032,95 1032,95 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-20 1 1 1032,99 1032,99 1032,99 1032,99 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-21 1 1 1033,03 1033,03 1033,03 1033,03 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-22 1 1 1033,07 1033,07 1033,07 1033,07 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-23 1 1 1033,11 1033,11 1033,11 1033,11 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-27 1 1 1033,26 1033,26 1033,26 1033,26 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-28 1 1 1033,29 1033,29 1033,29 1033,29 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-29 1 1 1033,33 1033,33 1033,33 1033,33 768614 Erik Penser Fonder AB EP Likviditetsfond Sverige SEK 2005-12-30 1 1 1033,33 1033,33 1033,33 1033,33 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-03 1 1 1047,22 1047,22 1047,22 1047,22 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-04 1 1 1046,99 1046,99 1046,99 1046,99 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-05 1 1 1046,39 1046,39 1046,39 1046,39 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-07 1 1 1047,9 1047,9 1047,9 1047,9 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-10 1 1 1048,33 1048,33 1048,33 1048,33 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-11 1 1 1048,53 1048,53 1048,53 1048,53 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-12 1 1 1048,45 1048,45 1048,45 1048,45 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-13 1 1 1048,94 1048,94 1048,94 1048,94 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-14 1 1 1048,89 1048,89 1048,89 1048,89 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-17 1 1 1049,3 1049,3 1049,3 1049,3 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-18 1 1 1049,2 1049,2 1049,2 1049,2 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-19 1 1 1049,68 1049,68 1049,68 1049,68 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-20 1 1 1049,31 1049,31 1049,31 1049,31 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-21 1 1 1050,05 1050,05 1050,05 1050,05 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-24 1 1 1050,78 1050,78 1050,78 1050,78 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-25 1 1 1050,7 1050,7 1050,7 1050,7 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-26 1 1 1050,47 1050,47 1050,47 1050,47 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-27 1 1 1050,16 1050,16 1050,16 1050,16 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-28 1 1 1050,85 1050,85 1050,85 1050,85 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-01-31 1 1 1050,96 1050,96 1050,96 1050,96 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-01 1 1 1051,27 1051,27 1051,27 1051,27 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-02 1 1 1003,6 1003,6 1003,6 1003,6 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-03 1 1 1003,33 1003,33 1003,33 1003,33 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-04 1 1 1003,86 1003,86 1003,86 1003,86 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-07 1 1 1003,93 1003,93 1003,93 1003,93 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-08 1 1 1003,64 1003,64 1003,64 1003,64 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-09 1 1 1004,31 1004,31 1004,31 1004,31 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-10 1 1 1004,81 1004,81 1004,81 1004,81 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-11 1 1 1004,88 1004,88 1004,88 1004,88 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-14 1 1 1004,6 1004,6 1004,6 1004,6 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-15 1 1 1004,54 1004,54 1004,54 1004,54 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-16 1 1 1004,85 1004,85 1004,85 1004,85 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-17 1 1 1004,93 1004,93 1004,93 1004,93 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-18 1 1 1004,11 1004,11 1004,11 1004,11 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-21 1 1 1003,71 1003,71 1003,71 1003,71 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-22 1 1 1003,62 1003,62 1003,62 1003,62 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-23 1 1 1003,94 1003,94 1003,94 1003,94 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-24 1 1 1003,7 1003,7 1003,7 1003,7 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-25 1 1 1003,46 1003,46 1003,46 1003,46 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-02-28 1 1 1003,79 1003,79 1003,79 1003,79 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-01 1 1 1003,62 1003,62 1003,62 1003,62 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-02 1 1 1002,92 1002,92 1002,92 1002,92 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-03 1 1 1003,42 1003,42 1003,42 1003,42 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-04 1 1 1004,5 1004,5 1004,5 1004,5 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-07 1 1 1005,13 1005,13 1005,13 1005,13 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-08 1 1 1005,47 1005,47 1005,47 1005,47 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-09 1 1 1004,9 1004,9 1004,9 1004,9 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-10 1 1 1004,99 1004,99 1004,99 1004,99 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-11 1 1 1004,35 1004,35 1004,35 1004,35 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-14 1 1 1004,43 1004,43 1004,43 1004,43 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-15 1 1 1004,98 1004,98 1004,98 1004,98 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-16 1 1 1004,35 1004,35 1004,35 1004,35 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-17 1 1 1004,67 1004,67 1004,67 1004,67 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-18 1 1 1004,49 1004,49 1004,49 1004,49 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-21 1 1 1004,11 1004,11 1004,11 1004,11 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-22 1 1 1004,66 1004,66 1004,66 1004,66 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-23 1 1 1004,48 1004,48 1004,48 1004,48 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-24 1 1 1004,54 1004,54 1004,54 1004,54 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-29 1 1 1004,94 1004,94 1004,94 1004,94 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-30 1 1 1005,33 1005,33 1005,33 1005,33 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-03-31 1 1 1006,26 1006,26 1006,26 1006,26 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-01 1 1 1007,01 1007,01 1007,01 1007,01 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-04 1 1 1007,21 1007,21 1007,21 1007,21 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-05 1 1 1007,3 1007,3 1007,3 1007,3 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-06 1 1 1007,54 1007,54 1007,54 1007,54 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-07 1 1 1007,79 1007,79 1007,79 1007,79 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-08 1 1 1007,3 1007,3 1007,3 1007,3 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-11 1 1 1007,76 1007,76 1007,76 1007,76 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-12 1 1 1007,96 1007,96 1007,96 1007,96 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-13 1 1 1008,59 1008,59 1008,59 1008,59 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-14 1 1 1009,06 1009,06 1009,06 1009,06 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-15 1 1 1009,9 1009,9 1009,9 1009,9 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-18 1 1 1010,17 1010,17 1010,17 1010,17 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-19 1 1 1010,38 1010,38 1010,38 1010,38 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-20 1 1 1010,38 1010,38 1010,38 1010,38 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-21 1 1 1010,42 1010,42 1010,42 1010,42 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-22 1 1 1010,87 1010,87 1010,87 1010,87 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-25 1 1 1011,32 1011,32 1011,32 1011,32 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-26 1 1 1011,6 1011,6 1011,6 1011,6 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-27 1 1 1012,37 1012,37 1012,37 1012,37 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-28 1 1 1012,84 1012,84 1012,84 1012,84 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-04-29 1 1 1013,17 1013,17 1013,17 1013,17 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-02 1 1 1013,63 1013,63 1013,63 1013,63 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-03 1 1 1014,06 1014,06 1014,06 1014,06 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-04 1 1 1013,51 1013,51 1013,51 1013,51 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-06 1 1 1012,88 1012,88 1012,88 1012,88 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-09 1 1 1013,18 1013,18 1013,18 1013,18 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-10 1 1 1014,44 1014,44 1014,44 1014,44 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-11 1 1 1014,73 1014,73 1014,73 1014,73 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-12 1 1 1014,44 1014,44 1014,44 1014,44 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-13 1 1 1015,25 1015,25 1015,25 1015,25 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-16 1 1 1015,63 1015,63 1015,63 1015,63 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-17 1 1 1015,7 1015,7 1015,7 1015,7 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-18 1 1 1016,97 1016,97 1016,97 1016,97 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-19 1 1 1016,63 1016,63 1016,63 1016,63 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-20 1 1 1015,75 1015,75 1015,75 1015,75 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-23 1 1 1016,08 1016,08 1016,08 1016,08 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-24 1 1 1016,5 1016,5 1016,5 1016,5 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-25 1 1 1017,16 1017,16 1017,16 1017,16 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-26 1 1 1016,35 1016,35 1016,35 1016,35 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-27 1 1 1016,53 1016,53 1016,53 1016,53 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-30 1 1 1016,19 1016,19 1016,19 1016,19 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-05-31 1 1 1017,57 1017,57 1017,57 1017,57 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-01 1 1 1018,59 1018,59 1018,59 1018,59 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-02 1 1 1018,97 1018,97 1018,97 1018,97 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-03 1 1 1020,18 1020,18 1020,18 1020,18 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-07 1 1 1020,43 1020,43 1020,43 1020,43 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-08 1 1 1022,11 1022,11 1022,11 1022,11 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-09 1 1 1022,14 1022,14 1022,14 1022,14 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-10 1 1 1022,03 1022,03 1022,03 1022,03 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-13 1 1 1022,05 1022,05 1022,05 1022,05 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-14 1 1 1021,5 1021,5 1021,5 1021,5 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-15 1 1 1020,79 1020,79 1020,79 1020,79 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-16 1 1 1020,55 1020,55 1020,55 1020,55 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-17 1 1 1021,37 1021,37 1021,37 1021,37 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-20 1 1 1021,33 1021,33 1021,33 1021,33 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-21 1 1 1023,86 1023,86 1023,86 1023,86 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-22 1 1 1025,24 1025,24 1025,24 1025,24 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-23 1 1 1025,04 1025,04 1025,04 1025,04 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-27 1 1 1025,58 1025,58 1025,58 1025,58 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-28 1 1 1025,01 1025,01 1025,01 1025,01 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-29 1 1 1025,68 1025,68 1025,68 1025,68 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-06-30 1 1 1025,63 1025,63 1025,63 1025,63 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-01 1 1 1025,78 1025,78 1025,78 1025,78 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-04 1 1 1025,07 1025,07 1025,07 1025,07 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-05 1 1 1024,25 1024,25 1024,25 1024,25 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-06 1 1 1024,64 1024,64 1024,64 1024,64 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-07 1 1 1025,6 1025,6 1025,6 1025,6 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-08 1 1 1025,73 1025,73 1025,73 1025,73 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-11 1 1 1024,98 1024,98 1024,98 1024,98 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-12 1 1 1024,66 1024,66 1024,66 1024,66 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-13 1 1 1024,37 1024,37 1024,37 1024,37 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-14 1 1 1024,01 1024,01 1024,01 1024,01 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-15 1 1 1024,06 1024,06 1024,06 1024,06 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-18 1 1 1024,42 1024,42 1024,42 1024,42 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-19 1 1 1024,26 1024,26 1024,26 1024,26 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-20 1 1 1024,36 1024,36 1024,36 1024,36 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-21 1 1 1024,57 1024,57 1024,57 1024,57 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-22 1 1 1025,28 1025,28 1025,28 1025,28 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-25 1 1 1025,77 1025,77 1025,77 1025,77 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-26 1 1 1025,38 1025,38 1025,38 1025,38 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-27 1 1 1026,05 1026,05 1026,05 1026,05 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-28 1 1 1025,43 1025,43 1025,43 1025,43 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-07-29 1 1 1024,47 1024,47 1024,47 1024,47 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-01 1 1 1023,15 1023,15 1023,15 1023,15 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-02 1 1 1022,56 1022,56 1022,56 1022,56 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-03 1 1 1022,09 1022,09 1022,09 1022,09 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-04 1 1 1022,72 1022,72 1022,72 1022,72 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-05 1 1 1021,7 1021,7 1021,7 1021,7 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-08 1 1 1021,67 1021,67 1021,67 1021,67 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-09 1 1 1021,88 1021,88 1021,88 1021,88 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-10 1 1 1022,57 1022,57 1022,57 1022,57 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-11 1 1 1022,93 1022,93 1022,93 1022,93 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-12 1 1 1023,16 1023,16 1023,16 1023,16 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-15 1 1 1023,52 1023,52 1023,52 1023,52 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-16 1 1 1023,89 1023,89 1023,89 1023,89 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-17 1 1 1023,85 1023,85 1023,85 1023,85 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-18 1 1 1023,69 1023,69 1023,69 1023,69 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-19 1 1 1023,53 1023,53 1023,53 1023,53 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-22 1 1 1023,99 1023,99 1023,99 1023,99 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-23 1 1 1024,81 1024,81 1024,81 1024,81 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-24 1 1 1024,56 1024,56 1024,56 1024,56 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-25 1 1 1025,02 1025,02 1025,02 1025,02 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-26 1 1 1024,99 1024,99 1024,99 1024,99 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-29 1 1 1024,54 1024,54 1024,54 1024,54 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-30 1 1 1024,62 1024,62 1024,62 1024,62 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-08-31 1 1 1025,64 1025,64 1025,64 1025,64 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-01 1 1 1026,37 1026,37 1026,37 1026,37 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-02 1 1 1026,63 1026,63 1026,63 1026,63 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-05 1 1 1027,1 1027,1 1027,1 1027,1 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-06 1 1 1026,42 1026,42 1026,42 1026,42 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-07 1 1 1026,58 1026,58 1026,58 1026,58 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-08 1 1 1027,08 1027,08 1027,08 1027,08 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-09 1 1 1027,42 1027,42 1027,42 1027,42 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-12 1 1 1026,28 1026,28 1026,28 1026,28 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-13 1 1 1026,4 1026,4 1026,4 1026,4 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-14 1 1 1026,12 1026,12 1026,12 1026,12 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-15 1 1 1025,98 1025,98 1025,98 1025,98 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-16 1 1 1025,77 1025,77 1025,77 1025,77 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-19 1 1 1025,88 1025,88 1025,88 1025,88 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-20 1 1 1026,51 1026,51 1026,51 1026,51 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-21 1 1 1027,36 1027,36 1027,36 1027,36 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-22 1 1 1027,23 1027,23 1027,23 1027,23 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-23 1 1 1026,42 1026,42 1026,42 1026,42 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-26 1 1 1025,84 1025,84 1025,84 1025,84 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-27 1 1 1025,98 1025,98 1025,98 1025,98 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-28 1 1 1025,65 1025,65 1025,65 1025,65 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-29 1 1 1024,84 1024,84 1024,84 1024,84 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-09-30 1 1 1024,89 1024,89 1024,89 1024,89 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-03 1 1 1023,88 1023,88 1023,88 1023,88 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-04 1 1 1024,24 1024,24 1024,24 1024,24 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-05 1 1 1024,52 1024,52 1024,52 1024,52 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-06 1 1 1024,46 1024,46 1024,46 1024,46 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-07 1 1 1024,27 1024,27 1024,27 1024,27 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-10 1 1 1024,3 1024,3 1024,3 1024,3 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-11 1 1 1024,24 1024,24 1024,24 1024,24 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-12 1 1 1024,18 1024,18 1024,18 1024,18 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-13 1 1 1024,04 1024,04 1024,04 1024,04 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-14 1 1 1024,15 1024,15 1024,15 1024,15 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-17 1 1 1024,23 1024,23 1024,23 1024,23 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-18 1 1 1024,18 1024,18 1024,18 1024,18 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-19 1 1 1024,91 1024,91 1024,91 1024,91 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-20 1 1 1024,65 1024,65 1024,65 1024,65 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-21 1 1 1025,13 1025,13 1025,13 1025,13 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-24 1 1 1025,42 1025,42 1025,42 1025,42 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-25 1 1 1024,86 1024,86 1024,86 1024,86 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-26 1 1 1023,69 1023,69 1023,69 1023,69 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-27 1 1 1023,68 1023,68 1023,68 1023,68 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-28 1 1 1023,56 1023,56 1023,56 1023,56 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-10-31 1 1 1023,32 1023,32 1023,32 1023,32 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-01 1 1 1023,13 1023,13 1023,13 1023,13 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-02 1 1 1022,47 1022,47 1022,47 1022,47 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-03 1 1 1022,19 1022,19 1022,19 1022,19 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-04 1 1 1021,54 1021,54 1021,54 1021,54 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-07 1 1 1021,11 1021,11 1021,11 1021,11 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-08 1 1 1021,4 1021,4 1021,4 1021,4 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-09 1 1 1021,02 1021,02 1021,02 1021,02 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-10 1 1 1021,25 1021,25 1021,25 1021,25 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-11 1 1 1021,58 1021,58 1021,58 1021,58 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-14 1 1 1022 1022 1022 1022 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-15 1 1 1021,79 1021,79 1021,79 1021,79 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-16 1 1 1022,76 1022,76 1022,76 1022,76 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-17 1 1 1022,36 1022,36 1022,36 1022,36 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-18 1 1 1021,17 1021,17 1021,17 1021,17 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-21 1 1 1022,08 1022,08 1022,08 1022,08 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-22 1 1 1021,98 1021,98 1021,98 1021,98 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-23 1 1 1022,2 1022,2 1022,2 1022,2 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-24 1 1 1022,85 1022,85 1022,85 1022,85 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-25 1 1 1022,4 1022,4 1022,4 1022,4 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-28 1 1 1022,46 1022,46 1022,46 1022,46 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-29 1 1 1022,44 1022,44 1022,44 1022,44 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-11-30 1 1 1022,2 1022,2 1022,2 1022,2 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-01 1 1 1022,46 1022,46 1022,46 1022,46 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-02 1 1 1021,86 1021,86 1021,86 1021,86 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-05 1 1 1021,39 1021,39 1021,39 1021,39 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-06 1 1 1021,34 1021,34 1021,34 1021,34 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-07 1 1 1021,51 1021,51 1021,51 1021,51 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-08 1 1 1021,39 1021,39 1021,39 1021,39 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-12 1 1 1021,37 1021,37 1021,37 1021,37 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-13 1 1 1021,64 1021,64 1021,64 1021,64 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-14 1 1 1022,08 1022,08 1022,08 1022,08 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-15 1 1 1022,08 1022,08 1022,08 1022,08 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-16 1 1 1022,09 1022,09 1022,09 1022,09 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-19 1 1 1022,5 1022,5 1022,5 1022,5 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-20 1 1 1022,45 1022,45 1022,45 1022,45 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-21 1 1 1022,12 1022,12 1022,12 1022,12 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-22 1 1 1021,98 1021,98 1021,98 1021,98 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-23 1 1 1022,08 1022,08 1022,08 1022,08 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-27 1 1 1022,48 1022,48 1022,48 1022,48 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-28 1 1 1022,49 1022,49 1022,49 1022,49 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-29 1 1 1022,37 1022,37 1022,37 1022,37 804443 Erik Penser Fonder AB EP Obligationsfond Sverige SEK 2005-12-30 1 1 1022,48 1022,48 1022,48 1022,48 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-03 9,0065 9,0015 53,16 52,64 478,78554 473,83896 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-04 9,0345 9,0295 53,38 52,85 482,26161 477,209075 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-05 9,0615 9,0565 53,42 52,89 484,06533 478,998285 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-07 9,0615 9,0565 53,12 52,6 481,34688 476,3719 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-10 9,08619 9,08119 53,29 52,76 484,2030651 479,1235844 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-11 9,08619 9,08119 53,39 52,86 485,1116841 480,0317034 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-12 9,0455 9,0405 53,15 52,63 480,768325 475,801515 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-13 9,0505 9,0455 53,08 52,56 480,40054 475,43148 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-14 9,0455 9,0405 53,24 52,72 481,58242 476,61516 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-17 9,0685 9,0635 53,42 52,89 484,43927 479,368515 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-18 9,0585 9,0535 53,59 53,05 485,445015 480,288175 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-19 9,0225 9,0175 53,77 53,23 485,139825 480,001525 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-20 9,0315 9,0265 53,79 53,25 485,804385 480,661125 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-21 9,0505 9,0455 53,8 53,26 486,9169 481,76333 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-24 9,0655 9,0605 53,69 53,15 486,726695 481,565575 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-25 9,0715 9,0665 53,63 53,09 486,504545 481,340485 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-26 9,0885 9,0835 53,69 53,15 487,961565 482,788025 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-27 9,0675 9,0625 53,75 53,21 487,378125 482,215625 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-28 9,0955 9,0905 53,72 53,18 488,61026 483,43279 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-01-31 9,1075 9,1025 53,78 53,24 489,80135 484,6171 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-01 9,1035 9,0985 54,1 53,56 492,49935 487,31566 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-02 9,0905 9,0855 54,13 53,59 492,068765 486,891945 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-03 9,0695 9,0645 54,17 53,63 491,294815 486,129135 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-04 9,0895 9,0845 54,24 53,7 493,01448 487,83765 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-07 9,0755 9,0705 54,65 54,11 495,976075 490,804755 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-08 9,0895 9,0845 54,83 54,29 498,377285 493,197505 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-09 9,0695 9,0645 54,84 54,3 497,37138 492,20235 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-10 9,0805 9,0755 54,87 54,33 498,247035 493,071915 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-11 9,0935 9,0885 54,74 54,2 497,77819 492,5967 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-14 9,1105 9,1055 55,22 54,68 503,08181 497,88874 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-15 9,0765 9,0715 55,45 54,9 503,291925 498,02535 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-16 9,0705 9,0655 55,45 54,9 502,959225 497,69595 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-17 9,0925 9,0875 55,49 54,94 504,542825 499,26725 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-18 9,0945 9,0895 55,61 55,05 505,745145 500,376975 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-21 9,1185 9,1135 55,7 55,14 507,90045 502,51839 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-22 9,0975 9,0925 55,27 54,72 502,818825 497,5416 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-23 9,1045 9,0995 55,09 54,54 501,566905 496,28673 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-24 9,0715 9,0665 54,66 54,11 495,84819 490,588315 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-25 9,0845 9,0795 54,65 54,11 496,467925 491,291745 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-02-28 9,0505 9,0455 55,11 54,56 498,773055 493,52248 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-01 9,0565 9,0515 55,05 54,5 498,560325 493,30675 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-02 9,0645 9,0595 55,5 54,95 503,07975 497,819525 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-03 9,0675 9,0625 55,41 54,86 502,430175 497,16875 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-04 9,0415 9,0365 55,52 54,97 501,98408 496,736405 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-07 9,0425 9,0375 55,88 55,33 505,2949 500,044875 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-08 9,0345 9,0295 55,88 55,32 504,84786 499,51194 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-09 9,0365 9,0315 55,42 54,87 500,80283 495,558405 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-10 9,0655 9,0605 55,38 54,83 502,04739 496,787215 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-11 9,0795 9,0745 55,26 54,71 501,73317 496,465895 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-14 9,0695 9,0645 55,44 54,89 502,81308 497,550405 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-15 9,1035 9,0985 55,35 54,8 503,878725 498,5978 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-16 9,0975 9,0925 55,46 54,9 504,54735 499,17825 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-17 9,1045 9,0995 55,27 54,72 503,205715 497,92464 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-18 9,1035 9,0985 55,02 54,47 500,87457 495,595295 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-21 9,1265 9,1215 55,18 54,63 503,60027 498,307545 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-22 9,1265 9,1215 55,33 54,78 504,969245 499,67577 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-23 9,1165 9,1115 55,29 54,73 504,051285 498,672395 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-24 9,1135 9,1085 54,94 54,39 500,69569 495,411315 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-29 9,1315 9,1265 55,34 54,79 505,33721 500,040935 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-30 9,1425 9,1375 55,25 54,71 505,123125 499,912625 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-03-31 9,1405 9,1355 55,36 54,81 506,01808 500,716755 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-01 9,1645 9,1595 55,57 55,01 509,271265 503,864095 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-04 9,1695 9,1645 55,9 55,35 512,57505 507,255075 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-05 9,1745 9,1695 55,71 55,16 511,111395 505,78962 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-06 9,1705 9,1655 56,26 55,71 515,93233 510,610005 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-07 9,1505 9,1455 56,7 56,14 518,83335 513,42837 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-08 9,1625 9,1575 56,64 56,08 518,964 513,5526 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-11 9,1705 9,1655 56,7 56,13 519,96735 514,459515 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-12 9,1525 9,1475 56,78 56,21 519,67895 514,180975 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-13 9,1495 9,1445 56,61 56,05 517,953195 512,549225 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-14 9,1685 9,1635 57,08 56,51 523,33798 517,829385 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-15 9,1925 9,1875 56,98 56,42 523,78865 518,35875 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-18 9,1805 9,1755 56,38 55,82 517,59659 512,17641 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-19 9,2035 9,1985 55,35 54,8 509,413725 504,0778 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-20 9,1915 9,1865 55,48 54,93 509,94442 504,614445 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-21 9,1855 9,1805 55,36 54,81 508,50928 503,183205 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-22 9,1625 9,1575 55,35 54,8 507,144375 501,831 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-25 9,1685 9,1635 55,63 55,08 510,043655 504,72558 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-26 9,1375 9,1325 55,85 55,3 510,329375 505,02725 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-27 9,1465 9,1415 55,46 54,91 507,26489 501,959765 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-28 9,1505 9,1455 54,72 54,72 500,71536 500,44176 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-04-29 9,1705 9,1655 54,57 54,57 500,434185 500,161335 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-02 9,1935 9,1885 54,59 54,59 501,873165 501,600215 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-03 9,2245 9,2195 55,08 55,08 508,08546 507,81006 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-04 9,1915 9,1865 55,21 55,21 507,462715 507,186665 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-06 9,1715 9,1665 55,47 55,47 508,743105 508,465755 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-09 9,1815 9,1765 55,33 55,33 508,012395 507,735745 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-10 9,1985 9,1935 55,3 55,3 508,67705 508,40055 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-11 9,2105 9,2055 55,18 55,18 508,23539 507,95949 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-12 9,2315 9,2265 55,15 55,15 509,117225 508,841475 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-13 9,2045 9,1995 55,38 55,38 509,74521 509,46831 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-17 9,2325 9,2275 55,33 55,33 510,834225 510,557575 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-18 9,2095 9,2045 55,53 55,53 511,403535 511,125885 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-19 9,1905 9,1855 56,06 56,06 515,21943 514,93913 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-20 9,1955 9,1905 56,34 56,34 518,07447 517,79277 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-23 9,1805 9,1755 56,44 56,44 518,14742 517,86522 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-24 9,1815 9,1765 56,6 56,6 519,6729 519,3899 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-25 9,1785 9,1735 56,57 56,57 519,227745 518,944895 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-26 9,1945 9,1895 56,68 56,68 521,14426 520,86086 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-27 9,1955 9,1905 57 57 524,1435 523,8585 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-30 9,1905 9,1855 56,83 56,83 522,296115 522,011965 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-05-31 9,1665 9,1615 57,05 57,05 522,948825 522,663575 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-01 9,1455 9,1405 57,31 57,31 524,128605 523,842055 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-02 9,1565 9,1515 58,07 58,07 531,717955 531,427605 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-03 9,1315 9,1265 58,02 58,02 529,80963 529,51953 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-07 9,1455 9,1405 57,85 57,85 529,067175 528,777925 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-08 9,1455 9,1405 58,5 58,5 535,01175 534,71925 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-09 9,1965 9,1915 58,67 58,67 539,558655 539,265305 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-10 9,1975 9,1925 58,6 58,6 538,9735 538,6805 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-13 9,2365 9,2315 58,92 58,92 544,21458 543,91998 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-14 9,2985 9,2935 59,26 59,26 551,02911 550,73281 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-15 9,2695 9,2645 59,09 59,09 547,734755 547,439305 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-16 9,2695 9,2645 58,71 58,71 544,212345 543,918795 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-17 9,2695 9,2645 58,84 58,84 545,41738 545,12318 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-20 9,2255 9,2205 58,87 58,87 543,105185 542,810835 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-21 9,2725 9,2675 58,71 58,71 544,388475 544,094925 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-22 9,2615 9,2565 59,04 59,04 546,79896 546,50376 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-27 9,3855 9,3805 59,06 59,06 554,30763 554,01233 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-28 9,3995 9,3945 58,67 58,67 551,468665 551,175315 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-29 9,4215 9,4165 58,74 58,74 553,41891 553,12521 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-06-30 9,4415 9,4365 59,1 59,1 557,99265 557,69715 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-01 9,4595 9,4545 59,14 59,14 559,43483 559,13913 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-04 9,4795 9,4745 59,5 59,5 564,03025 563,73275 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-05 9,4575 9,4525 59,5 59,5 562,72125 562,42375 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-06 9,4195 9,4145 59,31 59,31 558,670545 558,373995 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-07 9,3965 9,3915 59,47 59,47 558,809855 558,512505 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-08 9,4175 9,4125 58,72 58,72 552,9956 552,702 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-11 9,4665 9,4615 59,13 59,13 559,754145 559,458495 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-12 9,4645 9,4595 59,31 59,31 561,339495 561,042945 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-13 9,3915 9,3865 59,46 59,46 558,41859 558,12129 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-14 9,3675 9,3625 59,79 59,79 560,082825 559,783875 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-15 9,4055 9,4005 59,62 59,62 560,75591 560,45781 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-18 9,3895 9,3845 59,59 59,59 559,520305 559,222355 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-19 9,4425 9,4375 59,46 59,46 561,45105 561,15375 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-20 9,4265 9,4215 59,67 59,67 562,479255 562,180905 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-21 9,4625 9,4575 59,43 59,43 562,356375 562,059225 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-22 9,4495 9,4445 59,53 59,53 562,528735 562,231085 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-25 9,4275 9,4225 59,67 59,67 562,538925 562,240575 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-26 9,4155 9,4105 59,66 59,66 561,72873 561,43043 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-27 9,4725 9,4675 59,79 59,79 566,360775 566,061825 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-28 9,4515 9,4465 59,97 59,97 566,806455 566,506605 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-07-29 9,3885 9,3835 60,19 60,19 565,093815 564,792865 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-01 9,3985 9,3935 60,44 60,44 568,04534 567,74314 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-02 9,3995 9,3945 60,3 60,3 566,78985 566,48835 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-03 9,3755 9,3705 60,46 60,46 566,84273 566,54043 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-04 9,3735 9,3685 60,69 60,69 568,877715 568,574265 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-05 9,3355 9,3305 60,58 60,58 565,54459 565,24169 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-08 9,3335 9,3285 60,08 60,08 560,75668 560,45628 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-09 9,3455 9,3405 60,49 60,49 565,309295 565,006845 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-10 9,3535 9,3485 60,85 60,85 569,160475 568,856225 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-11 9,3365 9,3315 61,3 61,3 572,32745 572,02095 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-12 9,3025 9,2975 60,98 60,98 567,26645 566,96155 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-16 9,2995 9,2945 60,71 60,71 564,572645 564,269095 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-17 9,3405 9,3355 60,68 60,68 566,78154 566,47814 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-18 9,3365 9,3315 60,51 60,51 564,951615 564,649065 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-19 9,3395 9,3345 60,55 60,55 565,506725 565,203975 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-22 9,3655 9,3605 60,82 60,82 569,60971 569,30561 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-23 9,3715 9,3665 60,85 60,85 570,255775 569,951525 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-24 9,3365 9,3315 60,44 60,44 564,29806 563,99586 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-25 9,3335 9,3285 60,69 60,69 566,450115 566,146665 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-26 9,3415 9,3365 60,47 60,47 564,880505 564,578155 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-29 9,3295 9,3245 60,22 60,22 561,82249 561,52139 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-30 9,3285 9,3235 60,33 60,33 562,788405 562,486755 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-08-31 9,3585 9,3535 60,28 60,28 564,13038 563,82898 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-01 9,3365 9,3315 60,84 60,84 568,03266 567,72846 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-02 9,3025 9,2975 61,16 61,16 568,9409 568,6351 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-05 9,2845 9,2795 61,28 61,28 568,95416 568,64776 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-06 9,3225 9,3175 61,52 61,52 573,5202 573,2126 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-07 9,3075 9,3025 61,6 61,6 573,342 573,034 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-08 9,3255 9,3205 61,9 61,9 577,24845 576,93895 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-09 9,3445 9,3395 61,77 61,77 577,209765 576,900915 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-12 9,3015 9,2965 61,91 61,91 575,855865 575,546315 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-13 9,3015 9,2965 62,4 62,4 580,4136 580,1016 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-14 9,3365 9,3315 62,11 62,11 579,890015 579,579465 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-15 9,3425 9,3375 61,97 61,97 578,954725 578,644875 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-16 9,3465 9,3415 62,27 62,27 582,006555 581,695205 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-19 9,3355 9,3305 62,4 62,4 582,5352 582,2232 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-20 9,3395 9,3345 62,55 62,55 584,185725 583,872975 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-21 9,3405 9,3355 62,71 62,71 585,742755 585,429205 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-22 9,3405 9,3355 62,21 62,21 581,072505 580,761455 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-23 9,3695 9,3645 61,79 61,79 578,941405 578,632455 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-26 9,3815 9,3765 62,03 62,03 581,934445 581,624295 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-27 9,3885 9,3835 62,1 62,1 583,02585 582,71535 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-28 9,3935 9,3885 62 62 582,397 582,087 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-29 9,3845 9,3795 62,2 62,2 583,7159 583,4049 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-09-30 9,3435 9,3385 62,06 62,06 579,85761 579,54731 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-03 9,3025 9,2975 62,54 62,54 581,77835 581,46565 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-04 9,3185 9,3135 62,98 62,98 586,87913 586,56423 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-05 9,3105 9,3055 63,14 63,14 587,86497 587,54927 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-06 9,3015 9,2965 62,78 62,78 583,94817 583,63427 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-07 9,3385 9,3335 61,97 61,97 578,706845 578,396995 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-10 9,3465 9,3415 61,96 61,96 579,10914 578,79934 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-11 9,3395 9,3345 62,08 62,08 579,79616 579,48576 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-12 9,3375 9,3325 61,98 61,98 578,73825 578,42835 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-13 9,3815 9,3765 61,5 61,5 576,96225 576,65475 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-14 9,4135 9,4085 60,89 60,89 573,188015 572,883565 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-17 9,4575 9,4525 60,83 60,83 575,299725 574,995575 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-18 9,4625 9,4575 60,88 60,88 576,077 575,7726 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-19 9,4605 9,4555 60,87 60,87 575,860635 575,556285 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-20 9,4935 9,4885 60,2 60,2 571,5087 571,2077 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-21 9,4915 9,4865 60,23 60,23 571,673045 571,371895 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-24 9,5455 9,5405 59,79 59,79 570,725445 570,426495 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-25 9,5465 9,5415 60,3 60,3 575,65395 575,35245 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-26 9,4975 9,4925 60,08 60,08 570,6098 570,3094 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-27 9,5355 9,5305 60,14 60,14 573,46497 573,16427 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-28 9,5135 9,5085 59,68 59,68 567,76568 567,46728 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-10-31 9,5495 9,5445 59,4 59,4 567,2403 566,9433 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-02 9,5855 9,5805 60,79 60,79 582,702545 582,398595 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-03 9,6515 9,6465 60,99 60,99 588,644985 588,340035 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-04 9,5875 9,5825 61,67 61,67 591,261125 590,952775 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-07 9,6075 9,6025 61,65 61,65 592,302375 591,994125 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-08 9,5685 9,5635 61,94 61,94 592,67289 592,36319 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-09 9,5575 9,5525 61,79 61,79 590,557925 590,248975 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-10 9,6105 9,6055 61,77 61,77 593,640585 593,331735 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-11 9,6365 9,6315 61,9 61,9 596,49935 596,18985 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-14 9,5505 9,5455 62,39 62,39 595,855695 595,543745 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-15 9,5805 9,5755 62,34 62,34 597,24837 596,93667 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-16 9,6235 9,6185 62,28 62,28 599,35158 599,04018 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-17 9,6355 9,6305 61,97 61,97 597,111935 596,802085 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-18 9,6085 9,6035 62,2 62,2 597,6487 597,3377 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-21 9,5915 9,5865 62,39 62,39 598,413685 598,101735 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-22 9,5585 9,5535 62,48 62,48 597,21508 596,90268 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-23 9,5155 9,5105 62,61 62,61 595,765455 595,452405 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-24 9,5125 9,5075 62,79 62,79 597,289875 596,975925 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-25 9,4965 9,4915 62,79 62,79 596,285235 595,971285 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-28 9,4835 9,4785 63,11 63,11 598,503685 598,188135 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-29 9,4785 9,4735 62,55 62,55 592,880175 592,567425 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-11-30 9,5295 9,5245 62,84 62,84 598,83378 598,51958 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-01 9,5165 9,5115 62,62 62,62 595,92323 595,61013 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-02 9,4905 9,4855 63,1 63,1 598,85055 598,53505 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-05 9,4065 9,4015 63,6 63,6 598,2534 597,9354 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-06 9,4185 9,4135 63,72 63,72 600,14682 599,82822 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-07 9,4255 9,4205 63,82 63,82 601,53541 601,21631 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-08 9,3965 9,3915 63,65 63,65 598,087225 597,768975 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-12 9,4315 9,4265 64,02 64,02 603,80463 603,48453 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-13 9,4295 9,4245 64,15 64,15 604,902425 604,581675 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-14 9,4365 9,4315 64,23 64,23 606,106395 605,785245 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-15 9,4345 9,4295 64,08 64,08 604,56276 604,24236 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-16 9,4765 9,4715 64,25 64,25 608,865125 608,543875 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-19 9,4535 9,4485 64,66 64,66 611,26331 610,94001 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-20 9,4015 9,3965 64,6 64,6 607,3369 607,0139 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-21 9,4485 9,4435 64,59 64,59 610,278615 609,955665 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-22 9,4365 9,4315 64,74 64,74 610,91901 610,59531 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-23 9,4425 9,4375 64,67 64,67 610,646475 610,323125 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-27 9,4915 9,4865 64,77 64,77 614,764455 614,440605 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-28 9,4345 9,4295 65,01 65,01 613,336845 613,011795 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-29 9,4115 9,4065 64,88 64,88 610,61812 610,29372 309492 CB Asset Management AB European Quality Fund SICAV - European Equity Fund EUR 2005-12-30 9,4325 9,4275 64,94 64,94 612,54655 612,22185 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-08-23 9,3715 9,3665 224,663 224,663 2105,4293045 2104,3059895 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-08-24 9,3365 9,3315 224,173 224,173 2092,9912145 2091,8703495 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-08-25 9,3335 9,3285 224,317 224,317 2093,6627195 2092,5411345 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-08-26 9,3415 9,3365 225,725 225,725 2108,6100875 2107,4814625 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-08-29 9,3295 9,3245 225,647 225,647 2105,1736865 2104,0454515 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-08-30 9,3285 9,3235 225,857 225,857 2106,9070245 2105,7777395 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-08-31 9,3585 9,3535 227,531 227,531 2129,3488635 2128,2112085 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-01 9,3365 9,3315 229,409 229,409 2141,8771285 2140,7300835 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-02 9,3025 9,2975 232,276 232,276 2160,74749 2159,58611 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-05 9,2845 9,2795 234,177 234,177 2174,2163565 2173,0454715 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-06 9,3225 9,3175 235,283 235,283 2193,4257675 2192,2493525 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-07 9,3075 9,3025 237,21 237,21 2207,832075 2206,646025 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-08 9,3255 9,3205 238,225 238,225 2221,5672375 2220,3761125 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-09 9,3445 9,3395 239,202 239,202 2235,223089 2234,027079 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-12 9,3015 9,2965 240,17 240,17 2233,941255 2232,740405 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-13 9,3015 9,2965 241,02 241,02 2241,84753 2240,64243 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-14 9,3365 9,3315 241,825 241,825 2257,7991125 2256,5899875 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-15 9,3425 9,3375 244,685 244,685 2285,9696125 2284,7461875 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-16 9,3465 9,3415 244,093 244,093 2281,4152245 2280,1947595 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-19 9,3355 9,3305 245,075 245,075 2287,8976625 2286,6722875 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-20 9,3395 9,3345 246,394 246,394 2301,196763 2299,964793 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-21 9,3405 9,3355 246,292 246,292 2300,490426 2299,258966 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-22 9,3405 9,3355 246,865 246,865 2305,8425325 2304,6082075 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-23 9,3695 9,3645 249,053 249,053 2333,5020835 2332,2568185 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-26 9,3815 9,3765 247,77 247,77 2324,454255 2323,215405 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-27 9,3885 9,3835 250,643 250,643 2353,1618055 2351,9085905 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-28 9,3935 9,3885 250,994 250,994 2357,712139 2356,457169 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-29 9,3845 9,3795 252,473 252,473 2369,3328685 2368,0705035 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-09-30 9,3435 9,3385 253,775 253,775 2371,1467125 2369,8778375 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-03 9,3025 9,2975 255,417 255,417 2376,0166425 2374,7395575 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-04 9,3185 9,3135 256,481 256,481 2390,0181985 2388,7357935 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-05 9,3105 9,3055 256,293 256,293 2386,2159765 2384,9345115 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-06 9,3015 9,2965 254,825 254,825 2370,2547375 2368,9806125 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-07 9,3385 9,3335 252,041 252,041 2353,6848785 2352,4246735 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-10 9,3465 9,3415 253,015 253,015 2364,8046975 2363,5396225 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-11 9,3395 9,3345 252,531 252,531 2358,5132745 2357,2506195 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-12 9,3375 9,3325 251,578 251,578 2349,109575 2347,851685 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-13 9,3815 9,3765 249,477 249,477 2340,4684755 2339,2210905 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-14 9,4135 9,4085 250,348 250,348 2356,650898 2355,399158 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-17 9,4575 9,4525 250,055 250,055 2364,8951625 2363,6448875 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-18 9,4625 9,4575 249,56 249,56 2361,4615 2360,2137 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-19 9,4605 9,4555 248,794 248,794 2353,715637 2352,471667 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-20 9,4935 9,4885 248,09 248,09 2355,242415 2354,001965 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-21 9,4915 9,4865 246,795 246,795 2342,4547425 2341,2207675 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-24 9,5455 9,5405 248,198 248,198 2369,174009 2367,933019 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-25 9,5465 9,5415 248,896 248,896 2376,085664 2374,841184 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-26 9,4975 9,4925 249,351 249,351 2368,2111225 2366,9643675 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-27 9,5355 9,5305 248,298 248,298 2367,645579 2366,404089 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-28 9,5135 9,5085 248,377 248,377 2362,9345895 2361,6927045 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-10-31 9,5495 9,5445 247,996 247,996 2368,237802 2366,997822 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-01 9,5495 9,5445 248,555 248,555 2373,5759725 2372,3331975 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-02 9,5855 9,5805 248,269 248,269 2379,7824995 2378,5411545 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-03 9,6515 9,6465 249,84 249,84 2411,33076 2410,08156 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-04 9,5875 9,5825 251,14 251,14 2407,80475 2406,54905 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-07 9,6075 9,6025 252,346 252,346 2424,414195 2423,152465 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-08 9,5685 9,5635 253,183 253,183 2422,5815355 2421,3156205 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-09 9,5575 9,5525 255,015 255,015 2437,3058625 2436,0307875 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-10 9,6105 9,6055 257,587 257,587 2475,5398635 2474,2519285 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-11 9,6365 9,6315 257,364 257,364 2480,088186 2478,801366 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-14 9,5505 9,5455 257,28 257,28 2457,15264 2455,86624 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-15 9,5805 9,5755 257,014 257,014 2462,322627 2461,037557 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-16 9,6235 9,6185 256,509 256,509 2468,5143615 2467,2318165 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-17 9,6355 9,6305 257,883 257,883 2484,8316465 2483,5422315 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-18 9,6085 9,6035 257,647 257,647 2475,6011995 2474,3129645 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-21 9,5915 9,5865 256,94 256,94 2464,44001 2463,15531 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-22 9,5585 9,5535 256,194 256,194 2448,830349 2447,549379 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-23 9,5155 9,5105 255,975 255,975 2435,7301125 2434,4502375 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-24 9,5125 9,5075 255,177 255,177 2427,3712125 2426,0953275 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-25 9,4965 9,4915 254,336 254,336 2415,301824 2414,030144 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-28 9,4835 9,4785 252,944 252,944 2398,794424 2397,529704 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-29 9,4785 9,4735 252,713 252,713 2395,3401705 2394,0766055 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-11-30 9,5295 9,5245 251,956 251,956 2401,014702 2399,754922 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-01 9,5165 9,5115 253,333 253,333 2410,8434945 2409,5768295 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-02 9,4905 9,4855 253,461 253,461 2405,4716205 2404,2043155 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-05 9,4065 9,4015 253,039 253,039 2380,2113535 2378,9461585 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-07 9,4255 9,4205 253,389 253,389 2388,3180195 2387,0510745 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-08 9,3965 9,3915 252,697 252,697 2374,4673605 2373,2038755 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-12 9,4315 9,4265 253,884 253,884 2394,506946 2393,237526 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-13 9,4295 9,4245 253,984 253,984 2394,942128 2393,672208 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-14 9,4365 9,4315 253,451 253,451 2391,6903615 2390,4231065 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-15 9,4345 9,4295 253,462 253,462 2391,287239 2390,019929 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-16 9,4765 9,4715 252,372 252,372 2391,603258 2390,341398 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-19 9,4535 9,4485 251,543 251,543 2377,9617505 2376,7040355 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-20 9,4015 9,3965 251,576 251,576 2365,191764 2363,933884 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-21 9,4485 9,4435 252,299 252,299 2383,8471015 2382,5856065 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-22 9,4365 9,4315 253,673 253,673 2393,7852645 2392,5168995 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-23 9,4425 9,4375 254,022 254,022 2398,602735 2397,332625 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-27 9,4915 9,4865 254,178 254,178 2412,530487 2411,259597 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-28 9,4345 9,4295 256,743 256,743 2422,2418335 2420,9581185 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-29 9,4115 9,4065 258,844 258,844 2436,110306 2434,816086 322776 Evli-Fondbolag Ab Evli Baltic EUR 2005-12-30 9,4325 9,4275 260,755 260,755 2459,5715375 2458,2677625 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-03 9,0065 9,0015 142,262 142,262 1281,282703 1280,571393 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-04 9,0345 9,0295 142,248 142,248 1285,139556 1284,428316 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-05 9,0615 9,0565 142,428 142,428 1290,611322 1289,899182 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-07 9,0615 9,0565 142,5 142,5 1291,26375 1290,55125 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-10 9,08619 9,08119 142,639 142,639 1296,04505541 1295,33186041 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-11 9,08619 9,08119 142,615 142,615 1295,82698685 1295,11391185 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-12 9,0455 9,0405 142,612 142,612 1289,996846 1289,283786 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-13 9,0505 9,0455 142,849 142,849 1292,8548745 1292,1406295 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-14 9,0455 9,0405 142,852 142,852 1292,167766 1291,453506 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-17 9,0685 9,0635 142,975 142,975 1296,5687875 1295,8539125 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-18 9,0585 9,0535 142,974 142,974 1295,129979 1294,415109 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-19 9,0225 9,0175 143,071 143,071 1290,8580975 1290,1427425 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-20 9,0315 9,0265 142,814 142,814 1289,824641 1289,110571 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-21 9,0505 9,0455 142,878 142,878 1293,117339 1292,402949 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-24 9,0655 9,0605 143,061 143,061 1296,9194955 1296,2041905 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-25 9,0715 9,0665 143,165 143,165 1298,7212975 1298,0054725 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-26 9,0885 9,0835 143,138 143,138 1300,909713 1300,194023 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-27 9,0675 9,0625 143,074 143,074 1297,323495 1296,608125 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-28 9,0955 9,0905 143,277 143,277 1303,1759535 1302,4595685 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-01-31 9,1075 9,1025 143,391 143,391 1305,9335325 1305,2165775 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-01 9,1035 9,0985 143,422 143,422 1305,642177 1304,925067 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-02 9,0905 9,0855 143,466 143,466 1304,177673 1303,460343 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-03 9,0695 9,0645 143,41 143,41 1300,656995 1299,939945 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-04 9,0895 9,0845 143,689 143,689 1306,0611655 1305,3427205 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-07 9,0755 9,0705 143,786 143,786 1304,929843 1304,210913 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-08 9,0895 9,0845 143,906 143,906 1308,033587 1307,314057 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-09 9,0695 9,0645 144,111 144,111 1307,0147145 1306,2941595 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-10 9,0805 9,0755 144,255 144,255 1309,9075275 1309,1862525 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-11 9,0935 9,0885 144,249 144,249 1311,7282815 1311,0070365 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-14 9,1105 9,1055 144,262 144,262 1314,298951 1313,577641 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-15 9,0765 9,0715 144,228 144,228 1309,085442 1308,364302 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-16 9,0705 9,0655 144,158 144,158 1307,585139 1306,864349 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-17 9,0925 9,0875 144,054 144,054 1309,810995 1309,090725 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-18 9,0945 9,0895 143,769 143,769 1307,5071705 1306,7883255 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-21 9,1185 9,1135 143,68 143,68 1310,14608 1309,42768 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-22 9,0975 9,0925 143,689 143,689 1307,2106775 1306,4922325 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-23 9,1045 9,0995 143,731 143,731 1308,5988895 1307,8802345 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-24 9,0715 9,0665 143,589 143,589 1302,5676135 1301,8496685 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-25 9,0845 9,0795 143,662 143,662 1305,097439 1304,379129 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-02-28 9,0505 9,0455 143,85 143,85 1301,914425 1301,195175 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-01 9,0565 9,0515 143,773 143,773 1302,0801745 1301,3613095 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-02 9,0645 9,0595 143,626 143,626 1301,897877 1301,179747 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-03 9,0675 9,0625 143,782 143,782 1303,743285 1303,024375 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-04 9,0415 9,0365 144,076 144,076 1302,663154 1301,942774 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-07 9,0425 9,0375 144,271 144,271 1304,5705175 1303,8491625 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-08 9,0345 9,0295 144,154 144,154 1302,359313 1301,638543 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-09 9,0365 9,0315 143,909 143,909 1300,4336785 1299,7141335 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-10 9,0655 9,0605 143,71 143,71 1302,803005 1302,084455 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-11 9,0795 9,0745 143,813 143,813 1305,7501335 1305,0310685 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-14 9,0695 9,0645 143,648 143,648 1302,815536 1302,097296 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-15 9,1035 9,0985 143,81 143,81 1309,174335 1308,455285 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-16 9,0975 9,0925 143,637 143,637 1306,7376075 1306,0194225 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-17 9,1045 9,0995 143,472 143,472 1306,240824 1305,523464 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-18 9,1035 9,0985 143,371 143,371 1305,1778985 1304,4610435 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-21 9,1265 9,1215 142,93 142,93 1304,450645 1303,735995 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-22 9,1265 9,1215 142,822 142,822 1303,464983 1302,750873 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-23 9,1165 9,1115 142,666 142,666 1300,614589 1299,901259 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-24 9,1135 9,1085 142,925 142,925 1302,5469875 1301,8323625 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-29 9,1315 9,1265 142,799 142,799 1303,9690685 1303,2550735 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-30 9,1425 9,1375 142,83 142,83 1305,823275 1305,109125 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-03-31 9,1405 9,1355 142,937 142,937 1306,5156485 1305,8009635 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-01 9,1645 9,1595 142,974 142,974 1310,285223 1309,570353 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-04 9,1695 9,1645 142,938 142,938 1310,669991 1309,955301 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-05 9,1745 9,1695 142,958 142,958 1311,568171 1310,853381 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-06 9,1705 9,1655 143,168 143,168 1312,922144 1312,206304 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-07 9,1505 9,1455 143,548 143,548 1313,535974 1312,818234 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-08 9,1625 9,1575 143,547 143,547 1315,2493875 1314,5316525 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-11 9,1705 9,1655 143,633 143,633 1317,1864265 1316,4682615 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-12 9,1525 9,1475 143,706 143,706 1315,269165 1314,550635 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-13 9,1495 9,1445 143,735 143,735 1315,1033825 1314,3847075 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-14 9,1685 9,1635 143,485 143,485 1315,5422225 1314,8247975 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-15 9,1925 9,1875 143,335 143,335 1317,6069875 1316,8903125 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-18 9,1805 9,1755 143,258 143,258 1315,180069 1314,463779 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-19 9,2035 9,1985 143,421 143,421 1319,9751735 1319,2580685 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-20 9,1915 9,1865 143,645 143,645 1320,3130175 1319,5947925 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-21 9,1855 9,1805 143,832 143,832 1321,168836 1320,449676 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-22 9,1625 9,1575 143,892 143,892 1318,41045 1317,69099 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-25 9,1685 9,1635 144,016 144,016 1320,410696 1319,690616 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-26 9,1375 9,1325 143,946 143,946 1315,306575 1314,586845 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-27 9,1465 9,1415 143,98 143,98 1316,91307 1316,19317 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-28 9,1505 9,1455 144,05 144,05 1318,129525 1317,409275 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-04-29 9,1705 9,1655 144,05 144,05 1321,010525 1320,290275 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-02 9,1935 9,1885 144,022 144,022 1324,066257 1323,346147 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-03 9,2245 9,2195 144,188 144,188 1330,062206 1329,341266 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-04 9,1915 9,1865 143,986 143,986 1323,447319 1322,727389 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-06 9,1715 9,1665 143,653 143,653 1317,5134895 1316,7952245 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-09 9,1815 9,1765 143,815 143,815 1320,4374225 1319,7183475 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-10 9,1985 9,1935 143,895 143,895 1323,6181575 1322,8986825 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-11 9,2105 9,2055 143,828 143,828 1324,727794 1324,008654 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-12 9,2315 9,2265 143,797 143,797 1327,4620055 1326,7430205 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-13 9,2045 9,1995 143,779 143,779 1323,4138055 1322,6949105 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-16 9,2145 9,2095 143,491 143,491 1322,1978195 1321,4803645 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-17 9,2325 9,2275 143,214 143,214 1322,223255 1321,507185 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-18 9,2095 9,2045 143,262 143,262 1319,371389 1318,655079 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-19 9,1905 9,1855 143,43 143,43 1318,193415 1317,476265 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-20 9,1955 9,1905 143,363 143,363 1318,2944665 1317,5776515 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-23 9,1805 9,1755 143,852 143,852 1320,633286 1319,914026 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-24 9,1815 9,1765 144,092 144,092 1322,980698 1322,260238 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-25 9,1785 9,1735 144,324 144,324 1324,677834 1323,956214 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-26 9,1945 9,1895 144,421 144,421 1327,8788845 1327,1567795 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-27 9,1955 9,1905 144,437 144,437 1328,1704335 1327,4482485 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-30 9,1905 9,1855 144,498 144,498 1328,008869 1327,286379 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-05-31 9,1665 9,1615 144,789 144,789 1327,2083685 1326,4844235 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-01 9,1455 9,1405 145,032 145,032 1326,390156 1325,664996 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-02 9,1565 9,1515 145,222 145,222 1329,725243 1328,999133 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-03 9,1315 9,1265 145,376 145,376 1327,500944 1326,774064 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-07 9,1455 9,1405 145,723 145,723 1332,7096965 1331,9810815 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-08 9,1455 9,1405 145,974 145,974 1335,005217 1334,275347 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-09 9,1965 9,1915 145,887 145,887 1341,6497955 1340,9203605 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-10 9,1975 9,1925 145,826 145,826 1341,234635 1340,505505 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-13 9,2365 9,2315 145,732 145,732 1346,053618 1345,324958 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-14 9,2985 9,2935 145,697 145,697 1354,7635545 1354,0350695 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-15 9,2695 9,2645 145,493 145,493 1348,6473635 1347,9198985 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-16 9,2695 9,2645 145,284 145,284 1346,710038 1345,983618 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-17 9,2695 9,2645 145,497 145,497 1348,6844415 1347,9569565 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-20 9,2255 9,2205 145,577 145,577 1343,0206135 1342,2927285 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-21 9,2725 9,2675 146,031 146,031 1354,0724475 1353,3422925 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-22 9,2615 9,2565 146,417 146,417 1356,0410455 1355,3089605 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-23 9,3535 9,3485 146,442 146,442 1369,745247 1369,013037 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-27 9,3855 9,3805 146,6 146,6 1375,9143 1375,1813 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-28 9,3995 9,3945 146,407 146,407 1376,1525965 1375,4205615 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-29 9,4215 9,4165 146,452 146,452 1379,797518 1379,065258 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-06-30 9,4415 9,4365 146,67 146,67 1384,784805 1384,051455 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-01 9,4595 9,4545 146,622 146,622 1386,970809 1386,237699 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-04 9,4795 9,4745 146,573 146,573 1389,4387535 1388,7058885 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-05 9,4575 9,4525 146,449 146,449 1385,0414175 1384,3091725 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-06 9,4195 9,4145 146,484 146,484 1379,806038 1379,073618 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-07 9,3965 9,3915 146,603 146,603 1377,5550895 1376,8220745 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-08 9,4175 9,4125 146,669 146,669 1381,2553075 1380,5219625 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-11 9,4665 9,4615 146,654 146,654 1388,300091 1387,566821 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-12 9,4645 9,4595 146,734 146,734 1388,763943 1388,030273 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-13 9,3915 9,3865 146,644 146,644 1377,207126 1376,473906 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-14 9,3675 9,3625 146,626 146,626 1373,519055 1372,785925 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-15 9,4055 9,4005 146,623 146,623 1379,0626265 1378,3295115 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-18 9,3895 9,3845 146,846 146,846 1378,810517 1378,076287 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-19 9,4425 9,4375 146,674 146,674 1384,969245 1384,235875 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-20 9,4265 9,4215 146,586 146,586 1381,792929 1381,059999 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-21 9,4625 9,4575 146,677 146,677 1387,9311125 1387,1977275 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-22 9,4495 9,4445 146,951 146,951 1388,6134745 1387,8787195 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-25 9,4275 9,4225 147,096 147,096 1386,74754 1386,01206 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-26 9,4155 9,4105 146,843 146,843 1382,6002665 1381,8660515 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-27 9,4725 9,4675 146,904 146,904 1391,54814 1390,81362 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-28 9,4515 9,4465 146,854 146,854 1387,990581 1387,256311 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-07-29 9,3885 9,3835 146,891 146,891 1379,0861535 1378,3516985 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-01 9,3985 9,3935 146,631 146,631 1378,1114535 1377,3782985 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-02 9,3995 9,3945 146,531 146,531 1377,3181345 1376,5854795 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-03 9,3755 9,3705 146,59 146,59 1374,354545 1373,621595 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-04 9,3735 9,3685 146,64 146,64 1374,53004 1373,79684 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-05 9,3355 9,3305 146,369 146,369 1366,4277995 1365,6959545 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-08 9,3335 9,3285 146,398 146,398 1366,405733 1365,673743 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-09 9,3455 9,3405 146,352 146,352 1367,732616 1367,000856 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-10 9,3535 9,3485 146,512 146,512 1370,399992 1369,667432 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-11 9,3365 9,3315 146,561 146,561 1368,3667765 1367,6339715 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-12 9,3025 9,2975 146,845 146,845 1366,0256125 1365,2913875 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-15 9,3065 9,3015 147,055 147,055 1368,5673575 1367,8320825 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-16 9,2995 9,2945 147,312 147,312 1369,927944 1369,191384 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-17 9,3405 9,3355 147,309 147,309 1375,9397145 1375,2031695 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-18 9,3365 9,3315 147,51 147,51 1377,227115 1376,489565 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-19 9,3395 9,3345 147,518 147,518 1377,744361 1377,006771 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-22 9,3655 9,3605 147,62 147,62 1382,53511 1381,79701 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-23 9,3715 9,3665 147,775 147,775 1384,8734125 1384,1345375 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-24 9,3365 9,3315 147,76 147,76 1379,56124 1378,82244 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-25 9,3335 9,3285 147,899 147,899 1380,4153165 1379,6758215 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-26 9,3415 9,3365 147,873 147,873 1381,3556295 1380,6162645 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-29 9,3295 9,3245 147,944 147,944 1380,243548 1379,503828 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-30 9,3285 9,3235 147,899 147,899 1379,6758215 1378,9363265 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-08-31 9,3585 9,3535 148,119 148,119 1386,1716615 1385,4310665 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-01 9,3365 9,3315 148,333 148,333 1384,9110545 1384,1693895 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-02 9,3025 9,2975 148,306 148,306 1379,616565 1378,875035 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-05 9,2845 9,2795 148,424 148,424 1378,042628 1377,300508 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-06 9,3225 9,3175 148,345 148,345 1382,9462625 1382,2045375 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-07 9,3075 9,3025 148,345 148,345 1380,7210875 1379,9793625 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-08 9,3255 9,3205 148,524 148,524 1385,060562 1384,317942 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-09 9,3445 9,3395 148,654 148,654 1389,097303 1388,354033 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-12 9,3015 9,2965 148,386 148,386 1380,212379 1379,470449 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-13 9,3015 9,2965 148,54 148,54 1381,64481 1380,90211 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-14 9,3365 9,3315 148,598 148,598 1387,385227 1386,642237 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-15 9,3425 9,3375 148,521 148,521 1387,5574425 1386,8148375 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-16 9,3465 9,3415 148,336 148,336 1386,422424 1385,680744 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-19 9,3355 9,3305 148,577 148,577 1387,0405835 1386,2976985 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-20 9,3395 9,3345 148,601 148,601 1387,8590395 1387,1160345 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-21 9,3405 9,3355 148,816 148,816 1390,015848 1389,271768 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-22 9,3405 9,3355 148,769 148,769 1389,5768445 1388,8329995 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-23 9,3695 9,3645 148,59 148,59 1392,214005 1391,471055 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-26 9,3815 9,3765 148,358 148,358 1391,820577 1391,078787 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-27 9,3885 9,3835 148,387 148,387 1393,1313495 1392,3894145 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-28 9,3935 9,3885 148,352 148,352 1393,544512 1392,802752 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-29 9,3845 9,3795 148,262 148,262 1391,364739 1390,623429 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-09-30 9,3435 9,3385 148,316 148,316 1385,790546 1385,048966 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-03 9,3025 9,2975 148,202 148,202 1378,649105 1377,908095 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-04 9,3185 9,3135 148,3 148,3 1381,93355 1381,19205 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-05 9,3105 9,3055 148,352 148,352 1381,231296 1380,489536 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-06 9,3015 9,2965 148,184 148,184 1378,333476 1377,592556 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-07 9,3385 9,3335 148,099 148,099 1383,0225115 1382,2820165 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-10 9,3465 9,3415 148,174 148,174 1384,908291 1384,167421 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-11 9,3395 9,3345 148,026 148,026 1382,488827 1381,748697 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-12 9,3375 9,3325 147,849 147,849 1380,5400375 1379,8007925 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-13 9,3815 9,3765 147,581 147,581 1384,5311515 1383,7932465 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-14 9,4135 9,4085 147,55 147,55 1388,961925 1388,224175 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-17 9,4575 9,4525 147,554 147,554 1395,491955 1394,754185 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-18 9,4625 9,4575 147,719 147,719 1397,7910375 1397,0524425 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-19 9,4605 9,4555 147,814 147,814 1398,394347 1397,655277 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-20 9,4935 9,4885 147,674 147,674 1401,943119 1401,204749 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-21 9,4915 9,4865 147,913 147,913 1403,9162395 1403,1766745 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-24 9,5455 9,5405 148,079 148,079 1413,4880945 1412,7476995 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-25 9,5465 9,5415 147,752 147,752 1410,514468 1409,775708 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-26 9,4975 9,4925 147,416 147,416 1400,08346 1399,34638 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-27 9,5355 9,5305 147,246 147,246 1404,064233 1403,328003 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-28 9,5135 9,5085 147,194 147,194 1400,330119 1399,594149 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-10-31 9,5495 9,5445 147,27 147,27 1406,354865 1405,618515 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-01 9,5495 9,5445 147,149 147,149 1405,1993755 1404,4636305 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-02 9,5855 9,5805 147,076 147,076 1409,796998 1409,061618 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-03 9,6515 9,6465 147,109 147,109 1419,8225135 1419,0869685 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-04 9,5875 9,5825 146,997 146,997 1409,3337375 1408,5987525 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-07 9,6075 9,6025 146,959 146,959 1411,9085925 1411,1737975 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-08 9,5685 9,5635 147,154 147,154 1408,043049 1407,307279 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-09 9,5575 9,5525 146,844 146,844 1403,46153 1402,72731 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-10 9,6105 9,6055 146,909 146,909 1411,8689445 1411,1343995 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-11 9,6365 9,6315 146,985 146,985 1416,4209525 1415,6860275 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-14 9,5505 9,5455 146,988 146,988 1403,808894 1403,073954 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-15 9,5805 9,5755 146,99 146,99 1408,237695 1407,502745 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-16 9,6235 9,6185 147,333 147,333 1417,8591255 1417,1224605 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-17 9,6355 9,6305 147,186 147,186 1418,210703 1417,474773 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-18 9,6085 9,6035 146,66 146,66 1409,18261 1408,44931 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-21 9,5915 9,5865 147,026 147,026 1410,199879 1409,464749 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-22 9,5585 9,5535 147,013 147,013 1405,2237605 1404,4886955 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-23 9,5155 9,5105 147,099 147,099 1399,7205345 1398,9850395 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-24 9,5125 9,5075 147,514 147,514 1403,226925 1402,489355 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-25 9,4965 9,4915 147,519 147,519 1400,9141835 1400,1765885 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-28 9,4835 9,4785 147,566 147,566 1399,442161 1398,704331 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-29 9,4785 9,4735 147,372 147,372 1396,865502 1396,128642 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-11-30 9,5295 9,5245 147,429 147,429 1404,9246555 1404,1875105 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-01 9,5165 9,5115 147,735 147,735 1405,9201275 1405,1814525 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-02 9,4905 9,4855 147,835 147,835 1403,0280675 1402,2888925 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-05 9,4065 9,4015 147,948 147,948 1391,672862 1390,933122 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-07 9,4255 9,4205 147,791 147,791 1393,0040705 1392,2651155 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-08 9,3965 9,3915 147,899 147,899 1389,7329535 1388,9934585 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-12 9,4315 9,4265 147,759 147,759 1393,5890085 1392,8502135 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-13 9,4295 9,4245 147,782 147,782 1393,510369 1392,771459 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-14 9,4365 9,4315 147,924 147,924 1395,884826 1395,145206 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-15 9,4345 9,4295 147,93 147,93 1395,645585 1394,905935 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-16 9,4765 9,4715 148,067 148,067 1403,1569255 1402,4165905 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-19 9,4535 9,4485 148,161 148,161 1400,6400135 1399,8992085 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-20 9,4015 9,3965 148,074 148,074 1392,117711 1391,377341 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-21 9,4485 9,4435 147,873 147,873 1397,1780405 1396,4386755 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-22 9,4365 9,4315 147,947 147,947 1396,1018655 1395,3621305 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-23 9,4425 9,4375 148,006 148,006 1397,546655 1396,806625 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-27 9,4915 9,4865 148,198 148,198 1406,621317 1405,880327 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-28 9,4345 9,4295 148,375 148,375 1399,8439375 1399,1020625 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-29 9,4115 9,4065 148,266 148,266 1395,405459 1394,664129 390898 Evli-Fondbolag Ab Evli Corporate Bond EUR 2005-12-30 9,4325 9,4275 148,402 148,402 1399,801865 1399,059855 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-03 9,0065 9,0015 16,279 16,279 146,6168135 146,5354185 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-04 9,0345 9,0295 16,278 16,278 147,063591 146,982201 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-05 9,0615 9,0565 16,165 16,165 146,4791475 146,3983225 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-07 9,0615 9,0565 16,334 16,334 148,010541 147,928871 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-10 9,08619 9,08119 16,325 16,325 148,33205175 148,25042675 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-11 9,08619 9,08119 16,172 16,172 146,94186468 146,86100468 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-12 9,0455 9,0405 16,039 16,039 145,0807745 145,0005795 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-13 9,0505 9,0455 16,108 16,108 145,785454 145,704914 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-14 9,0455 9,0405 16,167 16,167 146,2385985 146,1577635 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-17 9,0685 9,0635 16,251 16,251 147,3721935 147,2909385 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-18 9,0585 9,0535 16,254 16,254 147,236859 147,155589 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-19 9,0225 9,0175 16,236 16,236 146,48931 146,40813 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-20 9,0315 9,0265 16,104 16,104 145,443276 145,362756 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-21 9,0505 9,0455 16,126 16,126 145,948363 145,867733 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-24 9,0655 9,0605 16,114 16,114 146,081467 146,000897 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-25 9,0715 9,0665 16,227 16,227 147,2032305 147,1220955 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-26 9,0885 9,0835 16,215 16,215 147,3700275 147,2889525 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-27 9,0675 9,0625 16,291 16,291 147,7186425 147,6371875 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-28 9,0955 9,0905 16,219 16,219 147,5199145 147,4388195 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-01-31 9,1075 9,1025 16,386 16,386 149,235495 149,153565 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-01 9,1035 9,0985 16,525 16,525 150,4353375 150,3527125 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-02 9,0905 9,0855 16,593 16,593 150,8386665 150,7557015 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-03 9,0695 9,0645 16,534 16,534 149,955113 149,872443 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-04 9,0895 9,0845 16,698 16,698 151,776471 151,692981 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-07 9,0755 9,0705 16,772 16,772 152,214286 152,130426 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-08 9,0895 9,0845 16,798 16,798 152,685421 152,601431 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-09 9,0695 9,0645 16,736 16,736 151,787152 151,703472 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-10 9,0805 9,0755 16,737 16,737 151,9803285 151,8966435 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-11 9,0935 9,0885 16,929 16,929 153,9438615 153,8592165 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-14 9,1105 9,1055 16,903 16,903 153,9947815 153,9102665 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-15 9,0765 9,0715 16,96 16,96 153,93744 153,85264 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-16 9,0705 9,0655 16,86 16,86 152,92863 152,84433 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-17 9,0925 9,0875 16,857 16,857 153,2722725 153,1879875 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-18 9,0945 9,0895 16,882 16,882 153,533349 153,448939 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-21 9,1185 9,1135 16,84 16,84 153,55554 153,47134 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-22 9,0975 9,0925 16,722 16,722 152,128395 152,044785 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-23 9,1045 9,0995 16,635 16,635 151,4533575 151,3701825 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-24 9,0715 9,0665 16,623 16,623 150,7955445 150,7124295 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-25 9,0845 9,0795 16,829 16,829 152,8830505 152,7989055 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-02-28 9,0505 9,0455 16,794 16,794 151,994097 151,910127 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-01 9,0565 9,0515 16,913 16,913 153,1725845 153,0880195 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-02 9,0645 9,0595 16,928 16,928 153,443856 153,359216 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-03 9,0675 9,0625 16,909 16,909 153,3223575 153,2378125 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-04 9,0415 9,0365 17,07 17,07 154,338405 154,253055 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-07 9,0425 9,0375 17,108 17,108 154,69909 154,61355 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-08 9,0345 9,0295 17,014 17,014 153,712983 153,627913 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-09 9,0365 9,0315 16,926 16,926 152,951799 152,867169 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-10 9,0655 9,0605 16,782 16,782 152,137221 152,053311 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-11 9,0795 9,0745 16,811 16,811 152,6354745 152,5514195 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-14 9,0695 9,0645 16,817 16,817 152,5217815 152,4376965 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-15 9,1035 9,0985 16,938 16,938 154,195083 154,110393 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-16 9,0975 9,0925 16,672 16,672 151,67352 151,59016 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-17 9,1045 9,0995 16,715 16,715 152,1817175 152,0981425 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-18 9,1035 9,0985 16,782 16,782 152,774937 152,691027 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-21 9,1265 9,1215 16,71 16,71 152,503815 152,420265 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-22 9,1265 9,1215 16,78 16,78 153,14267 153,05877 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-23 9,1165 9,1115 16,703 16,703 152,2728995 152,1893845 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-24 9,1135 9,1085 16,835 16,835 153,4257725 153,3415975 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-29 9,1315 9,1265 16,873 16,873 154,0757995 153,9914345 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-30 9,1425 9,1375 16,81 16,81 153,685425 153,601375 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-03-31 9,1405 9,1355 16,79 16,79 153,468995 153,385045 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-01 9,1645 9,1595 16,814 16,814 154,091903 154,007833 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-04 9,1695 9,1645 16,725 16,725 153,3598875 153,2762625 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-05 9,1745 9,1695 16,846 16,846 154,553627 154,469397 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-06 9,1705 9,1655 16,907 16,907 155,0456435 154,9611085 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-07 9,1505 9,1455 16,997 16,997 155,5310485 155,4460635 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-08 9,1625 9,1575 16,997 16,997 155,7350125 155,6500275 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-11 9,1705 9,1655 16,966 16,966 155,586703 155,501873 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-12 9,1525 9,1475 16,877 16,877 154,4667425 154,3823575 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-13 9,1495 9,1445 16,957 16,957 155,1480715 155,0632865 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-14 9,1685 9,1635 16,927 16,927 155,1951995 155,1105645 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-15 9,1925 9,1875 16,576 16,576 152,37488 152,292 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-18 9,1805 9,1755 16,249 16,249 149,1739445 149,0926995 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-19 9,2035 9,1985 16,3 16,3 150,01705 149,93555 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-20 9,1915 9,1865 16,214 16,214 149,030981 148,949911 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-21 9,1855 9,1805 16,275 16,275 149,4940125 149,4126375 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-22 9,1625 9,1575 16,413 16,413 150,3841125 150,3020475 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-25 9,1685 9,1635 16,475 16,475 151,0510375 150,9686625 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-26 9,1375 9,1325 16,453 16,453 150,3392875 150,2570225 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-27 9,1465 9,1415 16,253 16,253 148,6580645 148,5767995 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-28 9,1505 9,1455 16,209 16,209 148,3204545 148,2394095 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-04-29 9,1705 9,1655 16,221 16,221 148,7546805 148,6735755 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-02 9,1935 9,1885 16,344 16,344 150,258564 150,176844 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-03 9,2245 9,2195 16,42 16,42 151,46629 151,38419 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-04 9,1915 9,1865 16,532 16,532 151,953878 151,871218 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-06 9,1715 9,1665 16,738 16,738 153,512567 153,428877 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-09 9,1815 9,1765 16,679 16,679 153,1382385 153,0548435 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-10 9,1985 9,1935 16,541 16,541 152,1523885 152,0696835 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-11 9,2105 9,2055 16,474 16,474 151,733777 151,651407 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-12 9,2315 9,2265 16,592 16,592 153,169048 153,086088 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-13 9,2045 9,1995 16,617 16,617 152,9511765 152,8680915 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-16 9,2145 9,2095 16,6 16,6 152,9607 152,8777 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-17 9,2325 9,2275 16,577 16,577 153,0471525 152,9642675 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-18 9,2095 9,2045 16,873 16,873 155,3918935 155,3075285 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-19 9,1905 9,1855 16,96 16,96 155,87088 155,78608 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-20 9,1955 9,1905 16,944 16,944 155,808552 155,723832 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-23 9,1805 9,1755 17,09 17,09 156,894745 156,809295 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-24 9,1815 9,1765 17,077 17,077 156,7924755 156,7070905 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-25 9,1785 9,1735 17,039 17,039 156,3924615 156,3072665 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-26 9,1945 9,1895 17,187 17,187 158,0258715 157,9399365 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-27 9,1955 9,1905 17,187 17,187 158,0430585 157,9571235 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-30 9,1905 9,1855 17,282 17,282 158,830221 158,743811 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-05-31 9,1665 9,1615 17,177 17,177 157,4529705 157,3670855 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-01 9,1455 9,1405 17,45 17,45 159,588975 159,501725 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-02 9,1565 9,1515 17,476 17,476 160,018994 159,931614 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-03 9,1315 9,1265 17,383 17,383 158,7328645 158,6459495 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-07 9,1455 9,1405 17,508 17,508 160,119414 160,031874 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-08 9,1455 9,1405 17,457 17,457 159,6529935 159,5657085 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-09 9,1965 9,1915 17,447 17,447 160,4513355 160,3641005 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-10 9,1975 9,1925 17,558 17,558 161,489705 161,401915 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-13 9,2365 9,2315 17,644 17,644 162,968806 162,880586 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-14 9,2985 9,2935 17,667 17,667 164,2765995 164,1882645 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-15 9,2695 9,2645 17,58 17,58 162,95781 162,86991 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-16 9,2695 9,2645 17,648 17,648 163,588136 163,499896 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-17 9,2695 9,2645 17,751 17,751 164,5428945 164,4541395 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-20 9,2255 9,2205 17,67 17,67 163,014585 162,926235 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-21 9,2725 9,2675 17,789 17,789 164,9485025 164,8595575 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-22 9,2615 9,2565 17,801 17,801 164,8639615 164,7749565 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-23 9,3535 9,3485 17,846 17,846 166,922561 166,833331 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-27 9,3855 9,3805 17,52 17,52 164,43396 164,34636 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-28 9,3995 9,3945 17,693 17,693 166,3053535 166,2168885 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-29 9,4215 9,4165 17,78 17,78 167,51427 167,42537 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-06-30 9,4415 9,4365 17,806 17,806 168,115349 168,026319 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-01 9,4595 9,4545 17,956 17,956 169,854782 169,765002 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-04 9,4795 9,4745 17,993 17,993 170,5646435 170,4746785 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-05 9,4575 9,4525 17,954 17,954 169,799955 169,710185 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-06 9,4195 9,4145 18,043 18,043 169,9560385 169,8658235 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-07 9,3965 9,3915 17,748 17,748 166,769082 166,680342 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-08 9,4175 9,4125 18,048 18,048 169,96704 169,8768 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-11 9,4665 9,4615 18,168 18,168 171,987372 171,896532 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-12 9,4645 9,4595 18,119 18,119 171,4872755 171,3966805 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-13 9,3915 9,3865 18,25 18,25 171,394875 171,303625 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-14 9,3675 9,3625 18,344 18,344 171,83742 171,7457 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-15 9,4055 9,4005 18,354 18,354 172,628547 172,536777 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-18 9,3895 9,3845 18,342 18,342 172,222209 172,130499 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-19 9,4425 9,4375 18,532 18,532 174,98841 174,89575 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-20 9,4265 9,4215 18,484 18,484 174,239426 174,147006 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-21 9,4625 9,4575 18,449 18,449 174,5736625 174,4814175 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-22 9,4495 9,4445 18,412 18,412 173,984194 173,892134 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-25 9,4275 9,4225 18,441 18,441 173,8525275 173,7603225 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-26 9,4155 9,4105 18,467 18,467 173,8760385 173,7837035 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-27 9,4725 9,4675 18,511 18,511 175,3454475 175,2528925 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-28 9,4515 9,4465 18,637 18,637 176,1476055 176,0544205 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-07-29 9,3885 9,3835 18,595 18,595 174,5791575 174,4861825 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-01 9,3985 9,3935 18,569 18,569 174,5207465 174,4279015 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-02 9,3995 9,3945 18,737 18,737 176,1184315 176,0247465 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-03 9,3755 9,3705 18,704 18,704 175,359352 175,265832 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-04 9,3735 9,3685 18,511 18,511 173,5128585 173,4203035 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-05 9,3355 9,3305 18,351 18,351 171,3157605 171,2240055 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-08 9,3335 9,3285 18,409 18,409 171,8204015 171,7283565 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-09 9,3455 9,3405 18,632 18,632 174,125356 174,032196 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-10 9,3535 9,3485 18,844 18,844 176,257354 176,163134 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-11 9,3365 9,3315 18,757 18,757 175,1247305 175,0309455 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-12 9,3025 9,2975 18,652 18,652 173,51023 173,41697 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-15 9,3065 9,3015 18,623 18,623 173,3149495 173,2218345 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-16 9,2995 9,2945 18,506 18,506 172,096547 172,004017 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-17 9,3405 9,3355 18,462 18,462 172,444311 172,352001 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-18 9,3365 9,3315 18,381 18,381 171,6142065 171,5223015 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-19 9,3395 9,3345 18,62 18,62 173,90149 173,80839 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-22 9,3655 9,3605 18,629 18,629 174,4698995 174,3767545 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-23 9,3715 9,3665 18,458 18,458 172,979147 172,886857 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-24 9,3365 9,3315 18,432 18,432 172,090368 171,998208 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-25 9,3335 9,3285 18,232 18,232 170,168372 170,077212 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-26 9,3415 9,3365 18,047 18,047 168,5860505 168,4958155 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-29 9,3295 9,3245 18,143 18,143 169,2651185 169,1744035 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-30 9,3285 9,3235 18,107 18,107 168,9111495 168,8206145 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-08-31 9,3585 9,3535 18,269 18,269 170,9704365 170,8790915 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-01 9,3365 9,3315 18,367 18,367 171,4834955 171,3916605 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-02 9,3025 9,2975 18,329 18,329 170,5055225 170,4138775 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-05 9,2845 9,2795 18,486 18,486 171,633267 171,540837 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-06 9,3225 9,3175 18,707 18,707 174,3960075 174,3024725 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-07 9,3075 9,3025 18,748 18,748 174,49701 174,40327 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-08 9,3255 9,3205 18,731 18,731 174,6759405 174,5822855 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-09 9,3445 9,3395 18,809 18,809 175,7607005 175,6666555 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-12 9,3015 9,2965 18,775 18,775 174,6356625 174,5417875 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-13 9,3015 9,2965 18,615 18,615 173,1474225 173,0543475 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-14 9,3365 9,3315 18,687 18,687 174,4711755 174,3777405 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-15 9,3425 9,3375 18,683 18,683 174,5459275 174,4525125 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-16 9,3465 9,3415 18,845 18,845 176,1347925 176,0405675 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-19 9,3355 9,3305 18,789 18,789 175,4047095 175,3107645 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-20 9,3395 9,3345 18,886 18,886 176,385797 176,291367 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-21 9,3405 9,3355 18,615 18,615 173,8734075 173,7803325 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-22 9,3405 9,3355 18,541 18,541 173,1822105 173,0895055 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-23 9,3695 9,3645 18,65 18,65 174,741175 174,647925 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-26 9,3815 9,3765 18,989 18,989 178,1453035 178,0503585 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-27 9,3885 9,3835 18,953 18,953 177,9402405 177,8454755 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-28 9,3935 9,3885 19,139 19,139 179,7821965 179,6865015 605873 Evli-Fondbolag Ab Evli Euro 50 EUR 2005-09-29 9,3845 9,3795 19,182 19,182 180,013479 179,917569 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-03 9,0065 9,0015 11,421 11,421 102,8632365 102,8061315 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-04 9,0345 9,0295 11,409 11,409 103,0746105 103,0175655 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-05 9,0615 9,0565 11,358 11,358 102,920517 102,863727 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-07 9,0615 9,0565 11,415 11,415 103,4370225 103,3799475 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-10 9,08619 9,08119 11,418 11,418 103,74611742 103,68902742 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-11 9,08619 9,08119 11,389 11,389 103,48261791 103,42567291 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-12 9,0455 9,0405 11,454 11,454 103,607157 103,549887 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-13 9,0505 9,0455 11,438 11,438 103,519619 103,462429 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-14 9,0455 9,0405 11,482 11,482 103,860431 103,803021 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-17 9,0685 9,0635 11,512 11,512 104,396572 104,339012 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-18 9,0585 9,0535 11,496 11,496 104,136516 104,079036 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-19 9,0225 9,0175 11,529 11,529 104,0204025 103,9627575 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-20 9,0315 9,0265 11,47 11,47 103,591305 103,533955 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-21 9,0505 9,0455 11,474 11,474 103,845437 103,788067 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-24 9,0655 9,0605 11,462 11,462 103,908761 103,851451 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-25 9,0715 9,0665 11,493 11,493 104,2587495 104,2012845 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-26 9,0885 9,0835 11,5 11,5 104,51775 104,46025 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-27 9,0675 9,0625 11,501 11,501 104,2853175 104,2278125 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-28 9,0955 9,0905 11,52 11,52 104,78016 104,72256 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-01-31 9,1075 9,1025 11,536 11,536 105,06412 105,00644 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-01 9,1035 9,0985 11,557 11,557 105,2091495 105,1513645 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-02 9,0905 9,0855 11,597 11,597 105,4225285 105,3645435 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-03 9,0695 9,0645 11,591 11,591 105,1245745 105,0666195 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-04 9,0895 9,0845 11,613 11,613 105,5563635 105,4982985 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-07 9,0755 9,0705 11,666 11,666 105,874783 105,816453 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-08 9,0895 9,0845 11,672 11,672 106,092644 106,034284 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-09 9,0695 9,0645 11,677 11,677 105,9045515 105,8461665 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-10 9,0805 9,0755 11,668 11,668 105,951274 105,892934 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-11 9,0935 9,0885 11,688 11,688 106,284828 106,226388 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-14 9,1105 9,1055 11,7 11,7 106,59285 106,53435 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-15 9,0765 9,0715 11,721 11,721 106,3856565 106,3270515 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-16 9,0705 9,0655 11,713 11,713 106,2427665 106,1842015 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-17 9,0925 9,0875 11,718 11,718 106,545915 106,487325 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-18 9,0945 9,0895 11,724 11,724 106,623918 106,565298 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-21 9,1185 9,1135 11,684 11,684 106,540554 106,482134 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-22 9,0975 9,0925 11,636 11,636 105,85851 105,80033 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-23 9,1045 9,0995 11,613 11,613 105,7305585 105,6724935 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-24 9,0715 9,0665 11,632 11,632 105,519688 105,461528 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-25 9,0845 9,0795 11,661 11,661 105,9343545 105,8760495 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-02-28 9,0505 9,0455 11,685 11,685 105,7550925 105,6966675 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-01 9,0565 9,0515 11,677 11,677 105,7527505 105,6943655 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-02 9,0645 9,0595 11,676 11,676 105,837102 105,778722 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-03 9,0675 9,0625 11,685 11,685 105,9537375 105,8953125 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-04 9,0415 9,0365 11,694 11,694 105,731301 105,672831 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-07 9,0425 9,0375 11,754 11,754 106,285545 106,226775 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-08 9,0345 9,0295 11,738 11,738 106,046961 105,988271 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-09 9,0365 9,0315 11,722 11,722 105,925853 105,867243 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-10 9,0655 9,0605 11,667 11,667 105,7671885 105,7088535 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-11 9,0795 9,0745 11,686 11,686 106,103037 106,044607 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-14 9,0695 9,0645 11,666 11,666 105,804787 105,746457 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-15 9,1035 9,0985 11,699 11,699 106,5018465 106,4433515 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-16 9,0975 9,0925 11,68 11,68 106,2588 106,2004 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-17 9,1045 9,0995 11,655 11,655 106,1129475 106,0546725 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-18 9,1035 9,0985 11,662 11,662 106,165017 106,106707 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-21 9,1265 9,1215 11,649 11,649 106,3145985 106,2563535 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-22 9,1265 9,1215 11,639 11,639 106,2233335 106,1651385 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-23 9,1165 9,1115 11,619 11,619 105,9246135 105,8665185 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-24 9,1135 9,1085 11,638 11,638 106,062913 106,004723 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-29 9,1315 9,1265 11,632 11,632 106,217608 106,159448 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-30 9,1425 9,1375 11,65 11,65 106,510125 106,451875 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-03-31 9,1405 9,1355 11,679 11,679 106,7518995 106,6935045 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-01 9,1645 9,1595 11,709 11,709 107,3071305 107,2485855 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-04 9,1695 9,1645 11,691 11,691 107,2006245 107,1421695 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-05 9,1745 9,1695 11,707 11,707 107,4058715 107,3473365 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-06 9,1705 9,1655 11,731 11,731 107,5791355 107,5204805 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-07 9,1505 9,1455 11,753 11,753 107,5458265 107,4870615 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-08 9,1625 9,1575 11,774 11,774 107,879275 107,820405 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-11 9,1705 9,1655 11,769 11,769 107,9276145 107,8687695 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-12 9,1525 9,1475 11,773 11,773 107,7523825 107,6935175 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-13 9,1495 9,1445 11,792 11,792 107,890904 107,831944 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-14 9,1685 9,1635 11,782 11,782 108,023267 107,964357 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-15 9,1925 9,1875 11,747 11,747 107,9842975 107,9255625 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-18 9,1805 9,1755 11,702 11,702 107,430211 107,371701 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-19 9,2035 9,1985 11,704 11,704 107,717764 107,659244 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-20 9,1915 9,1865 11,726 11,726 107,779529 107,720899 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-21 9,1855 9,1805 11,705 11,705 107,5162775 107,4577525 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-22 9,1625 9,1575 11,72 11,72 107,3845 107,3259 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-25 9,1685 9,1635 11,731 11,731 107,5556735 107,4970185 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-26 9,1375 9,1325 11,742 11,742 107,292525 107,233815 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-27 9,1465 9,1415 11,694 11,694 106,959171 106,900701 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-28 9,1505 9,1455 11,682 11,682 106,896141 106,837731 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-04-29 9,1705 9,1655 11,676 11,676 107,074758 107,016378 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-02 9,1935 9,1885 11,712 11,712 107,674272 107,615712 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-03 9,2245 9,2195 11,718 11,718 108,092691 108,034101 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-04 9,1915 9,1865 11,717 11,717 107,6968055 107,6382205 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-06 9,1715 9,1665 11,758 11,758 107,838497 107,779707 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-09 9,1815 9,1765 11,751 11,751 107,8918065 107,8330515 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-10 9,1985 9,1935 11,755 11,755 108,1283675 108,0695925 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-11 9,2105 9,2055 11,742 11,742 108,149691 108,090981 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-12 9,2315 9,2265 11,764 11,764 108,599366 108,540546 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-13 9,2045 9,1995 11,755 11,755 108,1988975 108,1401225 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-16 9,2145 9,2095 11,771 11,771 108,4638795 108,4050245 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-17 9,2325 9,2275 11,76 11,76 108,5742 108,5154 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-18 9,2095 9,2045 11,816 11,816 108,819452 108,760372 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-19 9,1905 9,1855 11,871 11,871 109,1004255 109,0410705 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-20 9,1955 9,1905 11,879 11,879 109,2333445 109,1739495 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-23 9,1805 9,1755 11,903 11,903 109,2754915 109,2159765 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-24 9,1815 9,1765 11,925 11,925 109,4893875 109,4297625 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-25 9,1785 9,1735 11,94 11,94 109,59129 109,53159 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-26 9,1945 9,1895 11,959 11,959 109,9570255 109,8972305 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-27 9,1955 9,1905 11,955 11,955 109,9322025 109,8724275 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-30 9,1905 9,1855 11,971 11,971 110,0194755 109,9596205 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-05-31 9,1665 9,1615 11,989 11,989 109,8971685 109,8372235 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-01 9,1455 9,1405 12,023 12,023 109,9563465 109,8962315 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-02 9,1565 9,1515 12,077 12,077 110,5830505 110,5226655 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-03 9,1315 9,1265 12,085 12,085 110,3541775 110,2937525 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-07 9,1455 9,1405 12,075 12,075 110,4319125 110,3715375 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-08 9,1455 9,1405 12,119 12,119 110,8343145 110,7737195 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-09 9,1965 9,1915 12,098 12,098 111,259257 111,198767 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-10 9,1975 9,1925 12,168 12,168 111,91518 111,85434 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-13 9,2365 9,2315 12,163 12,163 112,3435495 112,2827345 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-14 9,2985 9,2935 12,175 12,175 113,2092375 113,1483625 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-15 9,2695 9,2645 12,172 12,172 112,828354 112,767494 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-16 9,2695 9,2645 12,149 12,149 112,6151555 112,5544105 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-17 9,2695 9,2645 12,181 12,181 112,9117795 112,8508745 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-20 9,2255 9,2205 12,16 12,16 112,18208 112,12128 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-21 9,2725 9,2675 12,203 12,203 113,1523175 113,0913025 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-22 9,2615 9,2565 12,257 12,257 113,5182055 113,4569205 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-23 9,3535 9,3485 12,254 12,254 114,617789 114,556519 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-27 9,3855 9,3805 12,171 12,171 114,2309205 114,1700655 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-28 9,3995 9,3945 12,193 12,193 114,6081035 114,5471385 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-29 9,4215 9,4165 12,222 12,222 115,149573 115,088463 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-06-30 9,4415 9,4365 12,247 12,247 115,6300505 115,5688155 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-01 9,4595 9,4545 12,259 12,259 115,9640105 115,9027155 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-04 9,4795 9,4745 12,278 12,278 116,389301 116,327911 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-05 9,4575 9,4525 12,246 12,246 115,816545 115,755315 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-06 9,4195 9,4145 12,289 12,289 115,7562355 115,6947905 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-07 9,3965 9,3915 12,206 12,206 114,693679 114,632649 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-08 9,4175 9,4125 12,268 12,268 115,53389 115,47255 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-11 9,4665 9,4615 12,327 12,327 116,6935455 116,6319105 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-12 9,4645 9,4595 12,315 12,315 116,5553175 116,4937425 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-13 9,3915 9,3865 12,327 12,327 115,7690205 115,7073855 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-14 9,3675 9,3625 12,37 12,37 115,875975 115,814125 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-15 9,4055 9,4005 12,371 12,371 116,3554405 116,2935855 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-18 9,3895 9,3845 12,387 12,387 116,3077365 116,2458015 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-19 9,4425 9,4375 12,38 12,38 116,89815 116,83625 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-20 9,4265 9,4215 12,406 12,406 116,945159 116,883129 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-21 9,4625 9,4575 12,425 12,425 117,5715625 117,5094375 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-22 9,4495 9,4445 12,4 12,4 117,1738 117,1118 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-25 9,4275 9,4225 12,415 12,415 117,0424125 116,9803375 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-26 9,4155 9,4105 12,426 12,426 116,997003 116,934873 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-27 9,4725 9,4675 12,454 12,454 117,970515 117,908245 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-28 9,4515 9,4465 12,485 12,485 118,0019775 117,9395525 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-07-29 9,3885 9,3835 12,508 12,508 117,431358 117,368818 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-01 9,3985 9,3935 12,473 12,473 117,2274905 117,1651255 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-02 9,3995 9,3945 12,469 12,469 117,2023655 117,1400205 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-03 9,3755 9,3705 12,508 12,508 117,268754 117,206214 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-04 9,3735 9,3685 12,48 12,48 116,98128 116,91888 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-05 9,3355 9,3305 12,462 12,462 116,339001 116,276691 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-08 9,3335 9,3285 12,448 12,448 116,183408 116,121168 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-09 9,3455 9,3405 12,448 12,448 116,332784 116,270544 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-10 9,3535 9,3485 12,517 12,517 117,0777595 117,0151745 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-11 9,3365 9,3315 12,497 12,497 116,6782405 116,6157555 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-12 9,3025 9,2975 12,488 12,488 116,16962 116,10718 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-15 9,3065 9,3015 12,504 12,504 116,368476 116,305956 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-16 9,2995 9,2945 12,503 12,503 116,2716485 116,2091335 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-17 9,3405 9,3355 12,446 12,446 116,251863 116,189633 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-18 9,3365 9,3315 12,444 12,444 116,183406 116,121186 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-19 9,3395 9,3345 12,466 12,466 116,426207 116,363877 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-22 9,3655 9,3605 12,502 12,502 117,087481 117,024971 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-23 9,3715 9,3665 12,477 12,477 116,9282055 116,8658205 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-24 9,3365 9,3315 12,438 12,438 116,127387 116,065197 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-25 9,3335 9,3285 12,403 12,403 115,7634005 115,7013855 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-26 9,3415 9,3365 12,414 12,414 115,965381 115,903311 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-29 9,3295 9,3245 12,36 12,36 115,31262 115,25082 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-30 9,3285 9,3235 12,429 12,429 115,9439265 115,8817815 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-08-31 9,3585 9,3535 12,429 12,429 116,3167965 116,2546515 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-01 9,3365 9,3315 12,488 12,488 116,594212 116,531772 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-02 9,3025 9,2975 12,49 12,49 116,188225 116,125775 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-05 9,2845 9,2795 12,507 12,507 116,1212415 116,0587065 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-06 9,3225 9,3175 12,553 12,553 117,0253425 116,9625775 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-07 9,3075 9,3025 12,607 12,607 117,3396525 117,2766175 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-08 9,3255 9,3205 12,603 12,603 117,5292765 117,4662615 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-09 9,3445 9,3395 12,619 12,619 117,9182455 117,8551505 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-12 9,3015 9,2965 12,628 12,628 117,459342 117,396202 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-13 9,3015 9,2965 12,594 12,594 117,143091 117,080121 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-14 9,3365 9,3315 12,605 12,605 117,6865825 117,6235575 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-15 9,3425 9,3375 12,62 12,62 117,90235 117,83925 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-16 9,3465 9,3415 12,651 12,651 118,2425715 118,1793165 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-19 9,3355 9,3305 12,666 12,666 118,243443 118,180113 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-20 9,3395 9,3345 12,699 12,699 118,6023105 118,5388155 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-21 9,3405 9,3355 12,671 12,671 118,3534755 118,2901205 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-22 9,3405 9,3355 12,635 12,635 118,0172175 117,9540425 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-23 9,3695 9,3645 12,648 12,648 118,505436 118,442196 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-26 9,3815 9,3765 12,708 12,708 119,220102 119,156562 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-27 9,3885 9,3835 12,693 12,693 119,1682305 119,1047655 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-28 9,3935 9,3885 12,722 12,722 119,504107 119,440497 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-29 9,3845 9,3795 12,73 12,73 119,464685 119,401035 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-09-30 9,3435 9,3385 12,762 12,762 119,241747 119,177937 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-03 9,3025 9,2975 12,797 12,797 119,0440925 118,9801075 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-04 9,3185 9,3135 12,812 12,812 119,388622 119,324562 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-05 9,3105 9,3055 12,805 12,805 119,2209525 119,1569275 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-06 9,3015 9,2965 12,707 12,707 118,1941605 118,1306255 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-07 9,3385 9,3335 12,705 12,705 118,6456425 118,5821175 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-10 9,3465 9,3415 12,748 12,748 119,149182 119,085442 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-11 9,3395 9,3345 12,744 12,744 119,022588 118,958868 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-12 9,3375 9,3325 12,679 12,679 118,3901625 118,3267675 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-13 9,3815 9,3765 12,595 12,595 118,1599925 118,0970175 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-14 9,4135 9,4085 12,576 12,576 118,384176 118,321296 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-17 9,4575 9,4525 12,612 12,612 119,27799 119,21493 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-18 9,4625 9,4575 12,616 12,616 119,3789 119,31582 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-19 9,4605 9,4555 12,503 12,503 118,2846315 118,2221165 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-20 9,4935 9,4885 12,541 12,541 119,0579835 118,9952785 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-21 9,4915 9,4865 12,469 12,469 118,3495135 118,2871685 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-24 9,5455 9,5405 12,516 12,516 119,471478 119,408898 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-25 9,5465 9,5415 12,535 12,535 119,6653775 119,6027025 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-26 9,4975 9,4925 12,509 12,509 118,8042275 118,7416825 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-27 9,5355 9,5305 12,474 12,474 118,945827 118,883457 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-28 9,5135 9,5085 12,415 12,415 118,1101025 118,0480275 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-10-31 9,5495 9,5445 12,503 12,503 119,3973985 119,3348835 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-01 9,5495 9,5445 12,547 12,547 119,8175765 119,7548415 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-02 9,5855 9,5805 12,516 12,516 119,972118 119,909538 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-03 9,6515 9,6465 12,572 12,572 121,338658 121,275798 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-04 9,5875 9,5825 12,589 12,589 120,6970375 120,6340925 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-07 9,6075 9,6025 12,577 12,577 120,8335275 120,7706425 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-08 9,5685 9,5635 12,598 12,598 120,543963 120,480973 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-09 9,5575 9,5525 12,584 12,584 120,27158 120,20866 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-10 9,6105 9,6055 12,596 12,596 121,053858 120,990878 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-11 9,6365 9,6315 12,643 12,643 121,8342695 121,7710545 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-14 9,5505 9,5455 12,671 12,671 121,0143855 120,9510305 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-15 9,5805 9,5755 12,639 12,639 121,0879395 121,0247445 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-16 9,6235 9,6185 12,623 12,623 121,4774405 121,4143255 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-17 9,6355 9,6305 12,663 12,663 122,0143365 121,9510215 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-18 9,6085 9,6035 12,697 12,697 121,9991245 121,9356395 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-21 9,5915 9,5865 12,682 12,682 121,639403 121,575993 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-22 9,5585 9,5535 12,707 12,707 121,4598595 121,3963245 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-23 9,5155 9,5105 12,747 12,747 121,2940785 121,2303435 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-24 9,5125 9,5075 12,767 12,767 121,4460875 121,3822525 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-25 9,4965 9,4915 12,79 12,79 121,460235 121,396285 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-28 9,4835 9,4785 12,806 12,806 121,445701 121,381671 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-29 9,4785 9,4735 12,779 12,779 121,1257515 121,0618565 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-11-30 9,5295 9,5245 12,748 12,748 121,482066 121,418326 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-01 9,5165 9,5115 12,791 12,791 121,7255515 121,6615965 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-02 9,4905 9,4855 12,857 12,857 122,0193585 121,9550735 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-05 9,4065 9,4015 12,863 12,863 120,9958095 120,9314945 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-07 9,4255 9,4205 12,885 12,885 121,4475675 121,3831425 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-08 9,3965 9,3915 12,833 12,833 120,5852845 120,5211195 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-12 9,4315 9,4265 12,891 12,891 121,5814665 121,5170115 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-13 9,4295 9,4245 12,907 12,907 121,7065565 121,6420215 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-14 9,4365 9,4315 12,899 12,899 121,7214135 121,6569185 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-15 9,4345 9,4295 12,89 12,89 121,610705 121,546255 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-16 9,4765 9,4715 12,951 12,951 122,7301515 122,6653965 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-19 9,4535 9,4485 12,955 12,955 122,4700925 122,4053175 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-20 9,4015 9,3965 12,957 12,957 121,8152355 121,7504505 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-21 9,4485 9,4435 12,997 12,997 122,8021545 122,7371695 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-22 9,4365 9,4315 12,989 12,989 122,5706985 122,5057535 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-23 9,4425 9,4375 13,024 13,024 122,97912 122,914 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-27 9,4915 9,4865 13,054 13,054 123,902041 123,836771 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-28 9,4345 9,4295 13,044 13,044 123,063618 122,998398 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-29 9,4115 9,4065 13,044 13,044 122,763606 122,698386 462556 Evli-Fondbolag Ab Evli Euro Mix EUR 2005-12-30 9,4325 9,4275 13,012 13,012 122,73569 122,67063 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-03 9,0065 9,0015 23,945 23,945 215,6606425 215,5409175 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-04 9,0345 9,0295 23,945 23,945 216,3311025 216,2113775 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-05 9,0615 9,0565 23,947 23,947 216,9957405 216,8760055 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-07 9,0615 9,0565 23,95 23,95 217,022925 216,903175 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-10 9,08619 9,08119 23,954 23,954 217,65059526 217,53082526 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-11 9,08619 9,08119 23,953 23,953 217,64150907 217,52174407 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-12 9,0455 9,0405 23,955 23,955 216,6849525 216,5651775 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-13 9,0505 9,0455 23,956 23,956 216,813778 216,693998 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-14 9,0455 9,0405 23,958 23,958 216,712089 216,592299 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-17 9,0685 9,0635 23,961 23,961 217,2903285 217,1705235 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-18 9,0585 9,0535 23,968 23,968 217,114128 216,994288 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-19 9,0225 9,0175 23,969 23,969 216,2603025 216,1404575 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-20 9,0315 9,0265 23,967 23,967 216,4579605 216,3381255 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-21 9,0505 9,0455 23,967 23,967 216,9133335 216,7934985 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-24 9,0655 9,0605 23,972 23,972 217,318166 217,198306 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-25 9,0715 9,0665 23,973 23,973 217,4710695 217,3512045 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-26 9,0885 9,0835 23,974 23,974 217,887699 217,767829 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-27 9,0675 9,0625 23,976 23,976 217,40238 217,2825 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-28 9,0955 9,0905 23,977 23,977 218,0828035 217,9629185 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-01-31 9,1075 9,1025 23,98 23,98 218,39785 218,27795 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-01 9,1035 9,0985 23,978 23,978 218,283723 218,163833 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-02 9,0905 9,0855 23,981 23,981 217,9992805 217,8793755 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-03 9,0695 9,0645 23,982 23,982 217,504749 217,384839 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-04 9,0895 9,0845 23,983 23,983 217,9934785 217,8735635 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-07 9,0755 9,0705 23,987 23,987 217,6940185 217,5740835 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-08 9,0895 9,0845 23,989 23,989 218,0480155 217,9280705 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-09 9,0695 9,0645 23,991 23,991 217,5863745 217,4664195 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-10 9,0805 9,0755 23,992 23,992 217,859356 217,739396 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-11 9,0935 9,0885 23,993 23,993 218,1803455 218,0603805 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-14 9,1105 9,1055 23,997 23,997 218,6246685 218,5046835 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-15 9,0765 9,0715 23,999 23,999 217,8269235 217,7069285 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-16 9,0705 9,0655 24 24 217,692 217,572 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-17 9,0925 9,0875 24,001 24,001 218,2290925 218,1090875 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-18 9,0945 9,0895 24,003 24,003 218,2952835 218,1752685 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-21 9,1185 9,1135 24,006 24,006 218,898711 218,778681 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-22 9,0975 9,0925 24,008 24,008 218,41278 218,29274 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-23 9,1045 9,0995 24,009 24,009 218,5899405 218,4698955 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-24 9,0715 9,0665 24,01 24,01 217,806715 217,686665 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-25 9,0845 9,0795 24,011 24,011 218,1279295 218,0078745 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-02-28 9,0505 9,0455 24,015 24,015 217,3477575 217,2276825 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-01 9,0565 9,0515 24,016 24,016 217,500904 217,380824 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-02 9,0645 9,0595 24,022 24,022 217,747419 217,627309 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-03 9,0675 9,0625 24,024 24,024 217,83762 217,7175 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-04 9,0415 9,0365 24,025 24,025 217,2220375 217,1019125 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-07 9,0425 9,0375 24,029 24,029 217,2822325 217,1620875 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-08 9,0345 9,0295 24,03 24,03 217,099035 216,978885 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-09 9,0365 9,0315 24,031 24,031 217,1561315 217,0359765 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-10 9,0655 9,0605 24,032 24,032 217,862096 217,741936 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-11 9,0795 9,0745 24,034 24,034 218,216703 218,096533 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-14 9,0695 9,0645 24,037 24,037 218,0035715 217,8833865 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-15 9,1035 9,0985 24,038 24,038 218,829933 218,709743 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-16 9,0975 9,0925 24,04 24,04 218,7039 218,5837 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-17 9,1045 9,0995 24,041 24,041 218,8812845 218,7610795 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-18 9,1035 9,0985 24,042 24,042 218,866347 218,746137 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-21 9,1265 9,1215 24,046 24,046 219,455819 219,335589 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-22 9,1265 9,1215 24,047 24,047 219,4649455 219,3447105 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-23 9,1165 9,1115 24,048 24,048 219,233592 219,113352 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-24 9,1135 9,1085 24,049 24,049 219,1705615 219,0503165 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-29 9,1315 9,1265 24,051 24,051 219,6217065 219,5014515 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-30 9,1425 9,1375 24,057 24,057 219,9411225 219,8208375 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-03-31 9,1405 9,1355 24,058 24,058 219,902149 219,781859 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-01 9,1645 9,1595 24,056 24,056 220,461212 220,340932 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-04 9,1695 9,1645 24,06 24,06 220,61817 220,49787 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-05 9,1745 9,1695 24,061 24,061 220,7476445 220,6273395 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-06 9,1705 9,1655 24,062 24,062 220,660571 220,540261 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-07 9,1505 9,1455 24,063 24,063 220,1884815 220,0681665 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-08 9,1625 9,1575 24,065 24,065 220,4955625 220,3752375 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-11 9,1705 9,1655 24,068 24,068 220,715594 220,595254 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-12 9,1525 9,1475 24,069 24,069 220,2915225 220,1711775 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-13 9,1495 9,1445 24,07 24,07 220,228465 220,108115 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-14 9,1685 9,1635 24,071 24,071 220,6949635 220,5746085 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-15 9,1925 9,1875 24,07 24,07 221,263475 221,143125 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-18 9,1805 9,1755 24,075 24,075 221,0205375 220,9001625 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-19 9,2035 9,1985 24,078 24,078 221,601873 221,481483 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-20 9,1915 9,1865 24,079 24,079 221,3221285 221,2017335 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-21 9,1855 9,1805 24,08 24,08 221,18684 221,06644 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-22 9,1625 9,1575 24,08 24,08 220,633 220,5126 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-25 9,1685 9,1635 24,083 24,083 220,8049855 220,6845705 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-26 9,1375 9,1325 24,086 24,086 220,085825 219,965395 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-27 9,1465 9,1415 24,087 24,087 220,3117455 220,1913105 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-28 9,1505 9,1455 24,088 24,088 220,417244 220,296804 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-04-29 9,1705 9,1655 24,09 24,09 220,917345 220,796895 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-02 9,1935 9,1885 24,092 24,092 221,489802 221,369342 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-03 9,2245 9,2195 24,091 24,091 222,2274295 222,1069745 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-04 9,1915 9,1865 24,095 24,095 221,4691925 221,3487175 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-06 9,1715 9,1665 24,096 24,096 220,996464 220,875984 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-09 9,1815 9,1765 24,1 24,1 221,27415 221,15365 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-10 9,1985 9,1935 24,101 24,101 221,6930485 221,5725435 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-11 9,2105 9,2055 24,103 24,103 222,0006815 221,8801665 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-12 9,2315 9,2265 24,104 24,104 222,516076 222,395556 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-13 9,2045 9,1995 24,105 24,105 221,8744725 221,7539475 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-16 9,2145 9,2095 24,108 24,108 222,143166 222,022626 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-17 9,2325 9,2275 24,109 24,109 222,5863425 222,4657975 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-18 9,2095 9,2045 24,11 24,11 222,041045 221,920495 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-19 9,1905 9,1855 24,112 24,112 221,601336 221,480776 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-20 9,1955 9,1905 24,113 24,113 221,7310915 221,6105265 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-23 9,1805 9,1755 24,116 24,116 221,396938 221,276358 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-24 9,1815 9,1765 24,117 24,117 221,4302355 221,3096505 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-25 9,1785 9,1735 24,119 24,119 221,3762415 221,2556465 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-26 9,1945 9,1895 24,121 24,121 221,7805345 221,6599295 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-27 9,1955 9,1905 24,121 24,121 221,8046555 221,6840505 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-30 9,1905 9,1855 24,125 24,125 221,7208125 221,6001875 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-05-31 9,1665 9,1615 24,122 24,122 221,114313 220,993703 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-01 9,1455 9,1405 24,126 24,126 220,644333 220,523703 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-02 9,1565 9,1515 24,128 24,128 220,928032 220,807392 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-03 9,1315 9,1265 24,129 24,129 220,3339635 220,2133185 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-07 9,1455 9,1405 24,133 24,133 220,7083515 220,5876865 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-08 9,1455 9,1405 24,136 24,136 220,735788 220,615108 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-09 9,1965 9,1915 24,138 24,138 221,985117 221,864427 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-10 9,1975 9,1925 24,139 24,139 222,0184525 221,8977575 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-13 9,2365 9,2315 24,141 24,141 222,9783465 222,8576415 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-14 9,2985 9,2935 24,143 24,143 224,4936855 224,3729705 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-15 9,2695 9,2645 24,144 24,144 223,802808 223,682088 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-16 9,2695 9,2645 24,143 24,143 223,7935385 223,6728235 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-17 9,2695 9,2645 24,144 24,144 223,802808 223,682088 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-20 9,2255 9,2205 24,148 24,148 222,777374 222,656634 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-21 9,2725 9,2675 24,149 24,149 223,9216025 223,8008575 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-22 9,2615 9,2565 24,152 24,152 223,683748 223,562988 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-23 9,3535 9,3485 24,155 24,155 225,9337925 225,8130175 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-27 9,3855 9,3805 24,159 24,159 226,7442945 226,6234995 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-28 9,3995 9,3945 24,161 24,161 227,1013195 226,9805145 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-29 9,4215 9,4165 24,161 24,161 227,6328615 227,5120565 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-06-30 9,4415 9,4365 24,162 24,162 228,125523 228,004713 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-01 9,4595 9,4545 24,164 24,164 228,579358 228,458538 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-04 9,4795 9,4745 24,167 24,167 229,0910765 228,9702415 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-05 9,4575 9,4525 24,168 24,168 228,56886 228,44802 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-06 9,4195 9,4145 24,168 24,168 227,650476 227,529636 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-07 9,3965 9,3915 24,169 24,169 227,1040085 226,9831635 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-08 9,4175 9,4125 24,169 24,169 227,6115575 227,4907125 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-11 9,4665 9,4615 24,172 24,172 228,824238 228,703378 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-12 9,4645 9,4595 24,173 24,173 228,7853585 228,6644935 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-13 9,3915 9,3865 24,174 24,174 227,030121 226,909251 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-14 9,3675 9,3625 24,177 24,177 226,4780475 226,3571625 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-15 9,4055 9,4005 24,178 24,178 227,406179 227,285289 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-18 9,3895 9,3845 24,18 24,18 227,03811 226,91721 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-19 9,4425 9,4375 24,181 24,181 228,3290925 228,2081875 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-20 9,4265 9,4215 24,184 24,184 227,970476 227,849556 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-21 9,4625 9,4575 24,185 24,185 228,8505625 228,7296375 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-22 9,4495 9,4445 24,187 24,187 228,5550565 228,4341215 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-25 9,4275 9,4225 24,191 24,191 228,0606525 227,9396975 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-26 9,4155 9,4105 24,192 24,192 227,779776 227,658816 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-27 9,4725 9,4675 24,193 24,193 229,1681925 229,0472275 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-28 9,4515 9,4465 24,195 24,195 228,6790425 228,5580675 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-07-29 9,3885 9,3835 24,195 24,195 227,1547575 227,0337825 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-01 9,3985 9,3935 24,199 24,199 227,4343015 227,3133065 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-02 9,3995 9,3945 24,198 24,198 227,449101 227,328111 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-03 9,3755 9,3705 24,201 24,201 226,8964755 226,7754705 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-04 9,3735 9,3685 24,202 24,202 226,857447 226,736437 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-05 9,3355 9,3305 24,203 24,203 225,9471065 225,8260915 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-08 9,3335 9,3285 24,206 24,206 225,926701 225,805671 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-09 9,3455 9,3405 24,207 24,207 226,2265185 226,1054835 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-10 9,3535 9,3485 24,208 24,208 226,429528 226,308488 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-11 9,3365 9,3315 24,21 24,21 226,036665 225,915615 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-12 9,3025 9,2975 24,211 24,211 225,2228275 225,1017725 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-15 9,3065 9,3015 24,216 24,216 225,366204 225,245124 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-16 9,2995 9,2945 24,218 24,218 225,215291 225,094201 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-17 9,3405 9,3355 24,22 24,22 226,22691 226,10581 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-18 9,3365 9,3315 24,221 24,221 226,1393665 226,0182615 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-19 9,3395 9,3345 24,223 24,223 226,2307085 226,1095935 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-22 9,3655 9,3605 24,227 24,227 226,8979685 226,7768335 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-23 9,3715 9,3665 24,228 24,228 227,052702 226,931562 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-24 9,3365 9,3315 24,229 24,229 226,2140585 226,0929135 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-25 9,3335 9,3285 24,23 24,23 226,150705 226,029555 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-26 9,3415 9,3365 24,232 24,232 226,363228 226,242068 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-29 9,3295 9,3245 24,235 24,235 226,1004325 225,9792575 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-30 9,3285 9,3235 24,236 24,236 226,085526 225,964346 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-08-31 9,3585 9,3535 24,237 24,237 226,8219645 226,7007795 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-01 9,3365 9,3315 24,24 24,24 226,31676 226,19556 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-02 9,3025 9,2975 24,243 24,243 225,5205075 225,3992925 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-05 9,2845 9,2795 24,248 24,248 225,130556 225,009316 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-06 9,3225 9,3175 24,249 24,249 226,0613025 225,9400575 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-07 9,3075 9,3025 24,25 24,25 225,706875 225,585625 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-08 9,3255 9,3205 24,251 24,251 226,1527005 226,0314455 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-09 9,3445 9,3395 24,252 24,252 226,622814 226,501554 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-12 9,3015 9,2965 24,256 24,256 225,617184 225,495904 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-13 9,3015 9,2965 24,256 24,256 225,617184 225,495904 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-14 9,3365 9,3315 24,258 24,258 226,484817 226,363527 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-15 9,3425 9,3375 24,259 24,259 226,6397075 226,5184125 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-16 9,3465 9,3415 24,259 24,259 226,7367435 226,6154485 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-19 9,3355 9,3305 24,262 24,262 226,497901 226,376591 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-20 9,3395 9,3345 24,264 24,264 226,613628 226,492308 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-21 9,3405 9,3355 24,266 24,266 226,656573 226,535243 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-22 9,3405 9,3355 24,268 24,268 226,675254 226,553914 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-23 9,3695 9,3645 24,269 24,269 227,3883955 227,2670505 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-26 9,3815 9,3765 24,272 24,272 227,707768 227,586408 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-27 9,3885 9,3835 24,272 24,272 227,877672 227,756312 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-28 9,3935 9,3885 24,273 24,273 228,0084255 227,8870605 355065 Evli-Fondbolag Ab Evli Euro Ränta EUR 2005-09-29 9,3845 9,3795 24,274 24,274 227,799353 227,677983 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-03 9,0065 9,0015 31,746 31,746 285,920349 285,761619 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-04 9,0345 9,0295 31,765 31,765 286,9808925 286,8220675 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-05 9,0615 9,0565 31,694 31,694 287,195181 287,036711 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-07 9,0615 9,0565 31,838 31,838 288,500037 288,340847 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-10 9,08619 9,08119 31,864 31,864 289,52235816 289,36303816 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-11 9,08619 9,08119 31,881 31,881 289,67682339 289,51741839 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-12 9,0455 9,0405 31,829 31,829 287,9092195 287,7500745 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-13 9,0505 9,0455 31,837 31,837 288,1407685 287,9815835 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-14 9,0455 9,0405 31,953 31,953 289,0308615 288,8710965 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-17 9,0685 9,0635 31,979 31,979 290,0015615 289,8416665 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-18 9,0585 9,0535 31,975 31,975 289,6455375 289,4856625 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-19 9,0225 9,0175 32,059 32,059 289,2523275 289,0920325 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-20 9,0315 9,0265 31,94 31,94 288,46611 288,30641 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-21 9,0505 9,0455 31,96 31,96 289,25398 289,09418 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-24 9,0655 9,0605 32,019 32,019 290,2682445 290,1081495 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-25 9,0715 9,0665 32,051 32,051 290,7506465 290,5903915 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-26 9,0885 9,0835 31,98 31,98 290,65023 290,49033 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-27 9,0675 9,0625 31,949 31,949 289,6975575 289,5378125 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-28 9,0955 9,0905 31,988 31,988 290,946854 290,786914 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-01-31 9,1075 9,1025 32,044 32,044 291,84073 291,68051 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-01 9,1035 9,0985 32,072 32,072 291,967452 291,807092 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-02 9,0905 9,0855 32,069 32,069 291,5232445 291,3628995 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-03 9,0695 9,0645 32,036 32,036 290,550502 290,390322 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-04 9,0895 9,0845 32,057 32,057 291,3821015 291,2218165 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-07 9,0755 9,0705 32,16 32,16 291,86808 291,70728 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-08 9,0895 9,0845 32,163 32,163 292,3455885 292,1847735 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-09 9,0695 9,0645 32,241 32,241 292,4097495 292,2485445 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-10 9,0805 9,0755 32,258 32,258 292,918769 292,757479 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-11 9,0935 9,0885 32,205 32,205 292,8561675 292,6951425 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-14 9,1105 9,1055 32,154 32,154 292,939017 292,778247 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-15 9,0765 9,0715 32,148 32,148 291,791322 291,630582 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-16 9,0705 9,0655 32,158 32,158 291,689139 291,528349 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-17 9,0925 9,0875 32,027 32,027 291,2054975 291,0453625 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-18 9,0945 9,0895 31,972 31,972 290,769354 290,609494 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-21 9,1185 9,1135 31,89 31,89 290,788965 290,629515 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-22 9,0975 9,0925 31,857 31,857 289,8190575 289,6597725 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-23 9,1045 9,0995 31,859 31,859 290,0602655 289,9009705 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-24 9,0715 9,0665 31,838 31,838 288,818417 288,659227 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-25 9,0845 9,0795 31,847 31,847 289,3140715 289,1548365 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-02-28 9,0505 9,0455 31,871 31,871 288,4484855 288,2891305 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-01 9,0565 9,0515 31,82 31,82 288,17783 288,01873 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-02 9,0645 9,0595 31,799 31,799 288,2420355 288,0830405 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-03 9,0675 9,0625 31,753 31,753 287,9203275 287,7615625 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-04 9,0415 9,0365 31,785 31,785 287,3840775 287,2251525 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-07 9,0425 9,0375 31,904 31,904 288,49192 288,3324 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-08 9,0345 9,0295 31,919 31,919 288,3722055 288,2126105 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-09 9,0365 9,0315 31,791 31,791 287,2793715 287,1204165 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-10 9,0655 9,0605 31,759 31,759 287,9112145 287,7524195 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-11 9,0795 9,0745 31,804 31,804 288,764418 288,605398 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-14 9,0695 9,0645 31,771 31,771 288,1470845 287,9882295 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-15 9,1035 9,0985 31,859 31,859 290,0284065 289,8691115 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-16 9,0975 9,0925 31,829 31,829 289,5643275 289,4051825 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-17 9,1045 9,0995 31,905 31,905 290,4790725 290,3195475 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-18 9,1035 9,0985 31,838 31,838 289,837233 289,678043 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-21 9,1265 9,1215 31,839 31,839 290,5786335 290,4194385 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-22 9,1265 9,1215 31,889 31,889 291,0349585 290,8755135 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-23 9,1165 9,1115 31,832 31,832 290,196428 290,037268 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-24 9,1135 9,1085 31,85 31,85 290,264975 290,105725 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-29 9,1315 9,1265 31,86 31,86 290,92959 290,77029 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-30 9,1425 9,1375 31,971 31,971 292,2948675 292,1350125 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-03-31 9,1405 9,1355 31,971 31,971 292,2309255 292,0710705 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-01 9,1645 9,1595 32,028 32,028 293,520606 293,360466 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-04 9,1695 9,1645 32,073 32,073 294,0933735 293,9330085 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-05 9,1745 9,1695 32,059 32,059 294,1252955 293,9650005 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-06 9,1705 9,1655 32,059 32,059 293,9970595 293,8367645 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-07 9,1505 9,1455 32,065 32,065 293,4107825 293,2504575 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-08 9,1625 9,1575 32,078 32,078 293,914675 293,754285 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-11 9,1705 9,1655 32,118 32,118 294,538119 294,377529 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-12 9,1525 9,1475 32,131 32,131 294,0789775 293,9183225 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-13 9,1495 9,1445 32,167 32,167 294,3119665 294,1511315 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-14 9,1685 9,1635 32,183 32,183 295,0698355 294,9089205 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-15 9,1925 9,1875 32,23 32,23 296,274275 296,113125 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-18 9,1805 9,1755 32,281 32,281 296,3557205 296,1943155 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-19 9,2035 9,1985 32,242 32,242 296,739247 296,578037 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-20 9,1915 9,1865 32,292 32,292 296,811918 296,650458 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-21 9,1855 9,1805 32,252 32,252 296,250746 296,089486 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-22 9,1625 9,1575 32,279 32,279 295,7563375 295,5949425 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-25 9,1685 9,1635 32,314 32,314 296,270909 296,109339 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-26 9,1375 9,1325 32,345 32,345 295,5524375 295,3907125 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-27 9,1465 9,1415 32,324 32,324 295,651466 295,489846 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-28 9,1505 9,1455 32,388 32,388 296,366394 296,204454 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-04-29 9,1705 9,1655 32,348 32,348 296,647334 296,485594 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-02 9,1935 9,1885 32,416 32,416 298,016496 297,854416 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-03 9,2245 9,2195 32,428 32,428 299,132086 298,969946 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-04 9,1915 9,1865 32,428 32,428 298,061962 297,899822 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-06 9,1715 9,1665 32,437 32,437 297,4959455 297,3337605 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-09 9,1815 9,1765 32,38 32,38 297,29697 297,13507 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-10 9,1985 9,1935 32,448 32,448 298,472928 298,310688 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-11 9,2105 9,2055 32,511 32,511 299,4425655 299,2800105 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-12 9,2315 9,2265 32,54 32,54 300,39301 300,23031 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-13 9,2045 9,1995 32,535 32,535 299,4684075 299,3057325 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-16 9,2145 9,2095 32,577 32,577 300,1807665 300,0178815 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-17 9,2325 9,2275 32,558 32,558 300,591735 300,428945 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-18 9,2095 9,2045 32,597 32,597 300,2020715 300,0390865 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-19 9,1905 9,1855 32,611 32,611 299,7113955 299,5483405 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-20 9,1955 9,1905 32,579 32,579 299,5801945 299,4172995 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-23 9,1805 9,1755 32,556 32,556 298,880358 298,717578 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-24 9,1815 9,1765 32,69 32,69 300,143235 299,979785 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-25 9,1785 9,1735 32,697 32,697 300,1094145 299,9459295 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-26 9,1945 9,1895 32,648 32,648 300,182036 300,018796 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-27 9,1955 9,1905 32,625 32,625 300,0031875 299,8400625 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-30 9,1905 9,1855 32,593 32,593 299,5459665 299,3830015 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-05-31 9,1665 9,1615 32,656 32,656 299,341224 299,177944 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-01 9,1455 9,1405 32,701 32,701 299,0669955 298,9034905 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-02 9,1565 9,1515 32,796 32,796 300,296574 300,132594 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-03 9,1315 9,1265 32,835 32,835 299,8328025 299,6686275 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-07 9,1455 9,1405 32,915 32,915 301,0241325 300,8595575 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-08 9,1455 9,1405 33,007 33,007 301,8655185 301,7004835 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-09 9,1965 9,1915 32,959 32,959 303,1074435 302,9426485 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-10 9,1975 9,1925 33,001 33,001 303,5266975 303,3616925 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-13 9,2365 9,2315 32,913 32,913 304,0009245 303,8363595 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-14 9,2985 9,2935 32,903 32,903 305,9485455 305,7840305 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-15 9,2695 9,2645 32,804 32,804 304,076678 303,912658 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-16 9,2695 9,2645 32,643 32,643 302,5842885 302,4210735 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-17 9,2695 9,2645 32,678 32,678 302,908721 302,745331 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-20 9,2255 9,2205 32,702 32,702 301,692301 301,528791 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-21 9,2725 9,2675 32,852 32,852 304,62017 304,45591 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-22 9,2615 9,2565 33,025 33,025 305,8610375 305,6959125 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-23 9,3535 9,3485 32,99 32,99 308,571965 308,407015 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-27 9,3855 9,3805 33,072 33,072 310,397256 310,231896 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-28 9,3995 9,3945 33,02 33,02 310,37149 310,20639 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-29 9,4215 9,4165 32,966 32,966 310,589169 310,424339 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-06-30 9,4415 9,4365 33 33 311,5695 311,4045 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-01 9,4595 9,4545 33,019 33,019 312,3432305 312,1781355 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-04 9,4795 9,4745 32,956 32,956 312,406402 312,241622 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-05 9,4575 9,4525 32,873 32,873 310,8963975 310,7320325 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-06 9,4195 9,4145 32,886 32,886 309,769677 309,605247 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-07 9,3965 9,3915 33,006 33,006 310,140879 309,975849 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-08 9,4175 9,4125 32,935 32,935 310,1653625 310,0006875 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-11 9,4665 9,4615 32,931 32,931 311,7413115 311,5766565 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-12 9,4645 9,4595 32,868 32,868 311,079186 310,914846 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-13 9,3915 9,3865 32,819 32,819 308,2196385 308,0555435 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-14 9,3675 9,3625 32,782 32,782 307,085385 306,921475 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-15 9,4055 9,4005 32,771 32,771 308,2276405 308,0637855 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-18 9,3895 9,3845 32,837 32,837 308,3230115 308,1588265 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-19 9,4425 9,4375 32,756 32,756 309,29853 309,13475 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-20 9,4265 9,4215 32,779 32,779 308,9912435 308,8273485 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-21 9,4625 9,4575 32,76 32,76 309,9915 309,8277 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-22 9,4495 9,4445 32,837 32,837 310,2932315 310,1290465 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-25 9,4275 9,4225 32,873 32,873 309,9102075 309,7458425 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-26 9,4155 9,4105 32,855 32,855 309,3462525 309,1819775 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-27 9,4725 9,4675 32,91 32,91 311,739975 311,575425 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-28 9,4515 9,4465 32,853 32,853 310,5101295 310,3458645 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-07-29 9,3885 9,3835 32,912 32,912 308,994312 308,829752 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-01 9,3985 9,3935 32,797 32,797 308,2426045 308,0786195 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-02 9,3995 9,3945 32,737 32,737 307,7114315 307,5477465 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-03 9,3755 9,3705 32,744 32,744 306,991372 306,827652 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-04 9,3735 9,3685 32,743 32,743 306,9165105 306,7527955 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-05 9,3355 9,3305 32,723 32,723 305,4855665 305,3219515 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-08 9,3335 9,3285 32,694 32,694 305,149449 304,985979 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-09 9,3455 9,3405 32,696 32,696 305,560468 305,396988 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-10 9,3535 9,3485 32,756 32,756 306,383246 306,219466 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-11 9,3365 9,3315 32,721 32,721 305,4996165 305,3360115 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-12 9,3025 9,2975 32,795 32,795 305,0754875 304,9115125 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-15 9,3065 9,3015 32,871 32,871 305,9139615 305,7496065 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-16 9,2995 9,2945 32,841 32,841 305,4048795 305,2406745 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-17 9,3405 9,3355 32,924 32,924 307,526622 307,362002 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-18 9,3365 9,3315 32,967 32,967 307,7963955 307,6315605 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-19 9,3395 9,3345 33,002 33,002 308,222179 308,057169 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-22 9,3655 9,3605 32,996 32,996 309,024038 308,859058 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-23 9,3715 9,3665 32,97 32,97 308,978355 308,813505 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-24 9,3365 9,3315 33,021 33,021 308,3005665 308,1354615 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-25 9,3335 9,3285 33,056 33,056 308,528176 308,362896 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-26 9,3415 9,3365 33,05 33,05 308,736575 308,571325 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-29 9,3295 9,3245 33,068 33,068 308,507906 308,342566 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-30 9,3285 9,3235 33,025 33,025 308,0737125 307,9085875 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-08-31 9,3585 9,3535 33,084 33,084 309,616614 309,451194 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-01 9,3365 9,3315 33,147 33,147 309,4769655 309,3112305 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-02 9,3025 9,2975 33,235 33,235 309,1685875 309,0024125 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-05 9,2845 9,2795 33,246 33,246 308,672487 308,506257 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-06 9,3225 9,3175 33,19 33,19 309,413775 309,247825 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-07 9,3075 9,3025 33,205 33,205 309,0555375 308,8895125 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-08 9,3255 9,3205 33,208 33,208 309,681204 309,515164 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-09 9,3445 9,3395 33,239 33,239 310,6018355 310,4356405 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-12 9,3015 9,2965 33,219 33,219 308,9865285 308,8204335 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-13 9,3015 9,2965 33,106 33,106 307,935459 307,769929 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-14 9,3365 9,3315 33,197 33,197 309,9437905 309,7778055 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-15 9,3425 9,3375 33,162 33,162 309,815985 309,650175 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-16 9,3465 9,3415 33,105 33,105 309,4158825 309,2503575 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-19 9,3355 9,3305 33,132 33,132 309,303786 309,138126 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-20 9,3395 9,3345 33,179 33,179 309,8752705 309,7093755 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-21 9,3405 9,3355 33,246 33,246 310,534263 310,368033 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-22 9,3405 9,3355 33,332 33,332 311,337546 311,170886 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-23 9,3695 9,3645 33,24 33,24 311,44218 311,27598 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-26 9,3815 9,3765 33,144 33,144 310,940436 310,774716 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-27 9,3885 9,3835 33,119 33,119 310,9377315 310,7721365 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-28 9,3935 9,3885 33,083 33,083 310,7651605 310,5997455 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-29 9,3845 9,3795 33,132 33,132 310,927254 310,761594 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-09-30 9,3435 9,3385 33,106 33,106 309,325911 309,160381 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-03 9,3025 9,2975 33,053 33,053 307,4755325 307,3102675 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-04 9,3185 9,3135 33,052 33,052 307,995062 307,829802 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-05 9,3105 9,3055 33,088 33,088 308,065824 307,900384 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-06 9,3015 9,2965 33,04 33,04 307,32156 307,15636 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-07 9,3385 9,3335 33,031 33,031 308,4599935 308,2948385 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-10 9,3465 9,3415 33,099 33,099 309,3598035 309,1943085 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-11 9,3395 9,3345 33,093 33,093 309,0720735 308,9066085 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-12 9,3375 9,3325 33,014 33,014 308,268225 308,103155 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-13 9,3815 9,3765 32,89 32,89 308,557535 308,393085 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-14 9,4135 9,4085 32,918 32,918 309,873593 309,709003 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-17 9,4575 9,4525 32,886 32,886 311,019345 310,854915 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-18 9,4625 9,4575 32,882 32,882 311,145925 310,981515 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-19 9,4605 9,4555 32,944 32,944 311,666712 311,501992 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-20 9,4935 9,4885 32,871 32,871 312,0608385 311,8964835 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-21 9,4915 9,4865 32,945 32,945 312,6974675 312,5327425 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-24 9,5455 9,5405 33,015 33,015 315,1446825 314,9796075 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-25 9,5465 9,5415 32,921 32,921 314,2803265 314,1157215 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-26 9,4975 9,4925 32,756 32,756 311,10011 310,93633 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-27 9,5355 9,5305 32,773 32,773 312,5069415 312,3430765 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-28 9,5135 9,5085 32,746 32,746 311,529071 311,365341 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-10-31 9,5495 9,5445 32,734 32,734 312,593333 312,429663 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-01 9,5495 9,5445 32,773 32,773 312,9657635 312,8018985 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-02 9,5855 9,5805 32,648 32,648 312,947404 312,784164 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-03 9,6515 9,6465 32,652 32,652 315,140778 314,977518 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-04 9,5875 9,5825 32,622 32,622 312,763425 312,600315 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-07 9,6075 9,6025 32,619 32,619 313,3870425 313,2239475 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-08 9,5685 9,5635 32,617 32,617 312,0957645 311,9326795 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-09 9,5575 9,5525 32,635 32,635 311,9090125 311,7458375 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-10 9,6105 9,6055 32,565 32,565 312,9659325 312,8031075 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-11 9,6365 9,6315 32,591 32,591 314,0631715 313,9002165 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-14 9,5505 9,5455 32,614 32,614 311,480007 311,316937 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-15 9,5805 9,5755 32,578 32,578 312,113529 311,950639 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-16 9,6235 9,6185 32,661 32,661 314,3131335 314,1498285 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-17 9,6355 9,6305 32,688 32,688 314,965224 314,801784 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-18 9,6085 9,6035 32,655 32,655 313,7655675 313,6022925 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-21 9,5915 9,5865 32,584 32,584 312,529436 312,366516 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-22 9,5585 9,5535 32,61 32,61 311,702685 311,539635 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-23 9,5155 9,5105 32,656 32,656 310,738168 310,574888 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-24 9,5125 9,5075 32,745 32,745 311,4868125 311,3230875 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-25 9,4965 9,4915 32,8 32,8 311,4852 311,3212 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-28 9,4835 9,4785 32,744 32,744 310,527724 310,364004 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-29 9,4785 9,4735 32,813 32,813 311,0180205 310,8539555 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-11-30 9,5295 9,5245 32,736 32,736 311,957712 311,794032 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-01 9,5165 9,5115 32,785 32,785 311,9984525 311,8345275 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-02 9,4905 9,4855 32,788 32,788 311,174514 311,010574 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-05 9,4065 9,4015 32,781 32,781 308,3544765 308,1905715 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-07 9,4255 9,4205 32,842 32,842 309,552271 309,388061 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-08 9,3965 9,3915 32,862 32,862 308,787783 308,623473 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-12 9,4315 9,4265 32,784 32,784 309,202296 309,038376 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-13 9,4295 9,4245 32,776 32,776 309,061292 308,897412 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-14 9,4365 9,4315 32,867 32,867 310,1494455 309,9851105 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-15 9,4345 9,4295 32,897 32,897 310,3667465 310,2022615 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-16 9,4765 9,4715 32,902 32,902 311,795803 311,631293 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-19 9,4535 9,4485 32,926 32,926 311,265941 311,101311 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-20 9,4015 9,3965 32,9 32,9 309,30935 309,14485 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-21 9,4485 9,4435 32,893 32,893 310,7895105 310,6250455 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-22 9,4365 9,4315 32,852 32,852 310,007898 309,843638 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-23 9,4425 9,4375 32,914 32,914 310,790445 310,625875 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-27 9,4915 9,4865 32,957 32,957 312,8113655 312,6465805 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-28 9,4345 9,4295 33,002 33,002 311,357369 311,192359 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-29 9,4115 9,4065 32,991 32,991 310,4947965 310,3298415 426726 Evli-Fondbolag Ab Evli Euro Statsobligation EUR 2005-12-30 9,4325 9,4275 33,042 33,042 311,668665 311,503455 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-03 9,0065 9,0015 52,743 52,743 475,0298295 474,7661145 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-04 9,0345 9,0295 52,726 52,726 476,353047 476,089417 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-05 9,0615 9,0565 52,402 52,402 474,840723 474,578713 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-07 9,0615 9,0565 52,913 52,913 479,4711495 479,2065845 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-10 9,08619 9,08119 53,04 53,04 481,9315176 481,6663176 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-11 9,08619 9,08119 52,799 52,799 479,74174581 479,47775081 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-12 9,0455 9,0405 52,542 52,542 475,268661 475,005951 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-13 9,0505 9,0455 52,261 52,261 472,9881805 472,7268755 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-14 9,0455 9,0405 52,574 52,574 475,558117 475,295247 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-17 9,0685 9,0635 52,891 52,891 479,6420335 479,3775785 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-18 9,0585 9,0535 52,778 52,778 478,089513 477,825623 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-19 9,0225 9,0175 53,078 53,078 478,896255 478,630865 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-20 9,0315 9,0265 52,724 52,724 476,176806 475,913186 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-21 9,0505 9,0455 52,661 52,661 476,6083805 476,3450755 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-24 9,0655 9,0605 52,532 52,532 476,228846 475,966186 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-25 9,0715 9,0665 52,941 52,941 480,2542815 479,9895765 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-26 9,0885 9,0835 53,214 53,214 483,635439 483,369369 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-27 9,0675 9,0625 53,294 53,294 483,243345 482,976875 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-28 9,0955 9,0905 53,411 53,411 485,7997505 485,5326955 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-01-31 9,1075 9,1025 53,48 53,48 487,0691 486,8017 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-01 9,1035 9,0985 53,563 53,563 487,6107705 487,3429555 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-02 9,0905 9,0855 53,955 53,955 490,4779275 490,2081525 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-03 9,0695 9,0645 54,06 54,06 490,29717 490,02687 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-04 9,0895 9,0845 54,33 54,33 493,832535 493,560885 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-07 9,0755 9,0705 54,893 54,893 498,1814215 497,9069565 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-08 9,0895 9,0845 54,912 54,912 499,122624 498,848064 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-09 9,0695 9,0645 55,027 55,027 499,0673765 498,7922415 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-10 9,0805 9,0755 54,801 54,801 497,6204805 497,3464755 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-11 9,0935 9,0885 55,127 55,127 501,2973745 501,0217395 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-14 9,1105 9,1055 55,387 55,387 504,6032635 504,3263285 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-15 9,0765 9,0715 55,652 55,652 505,125378 504,847118 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-16 9,0705 9,0655 55,575 55,575 504,0930375 503,8151625 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-17 9,0925 9,0875 55,773 55,773 507,1160025 506,8371375 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-18 9,0945 9,0895 55,983 55,983 509,1373935 508,8574785 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-21 9,1185 9,1135 55,754 55,754 508,392849 508,114079 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-22 9,0975 9,0925 55,229 55,229 502,4458275 502,1696825 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-23 9,1045 9,0995 54,944 54,944 500,237648 499,962928 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-24 9,0715 9,0665 55,135 55,135 500,1571525 499,8814775 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-25 9,0845 9,0795 55,574 55,574 504,862003 504,584133 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-02-28 9,0505 9,0455 55,832 55,832 505,307516 505,028356 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-01 9,0565 9,0515 55,805 55,805 505,3979825 505,1189575 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-02 9,0645 9,0595 55,823 55,823 506,0075835 505,7284685 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-03 9,0675 9,0625 56,084 56,084 508,54167 508,26125 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-04 9,0415 9,0365 56,189 56,189 508,0328435 507,7518985 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-07 9,0425 9,0375 56,495 56,495 510,8560375 510,5735625 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-08 9,0345 9,0295 56,328 56,328 508,895316 508,613676 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-09 9,0365 9,0315 56,352 56,352 509,224848 508,943088 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-10 9,0655 9,0605 55,708 55,708 505,020874 504,742334 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-11 9,0795 9,0745 55,861 55,861 507,1899495 506,9106445 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-14 9,0695 9,0645 55,68 55,68 504,98976 504,71136 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-15 9,1035 9,0985 55,967 55,967 509,4955845 509,2157495 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-16 9,0975 9,0925 55,859 55,859 508,1772525 507,8979575 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-17 9,1045 9,0995 55,474 55,474 505,063033 504,785663 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-18 9,1035 9,0985 55,673 55,673 506,8191555 506,5407905 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-21 9,1265 9,1215 55,616 55,616 507,579424 507,301344 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-22 9,1265 9,1215 55,201 55,201 503,7919265 503,5159215 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-23 9,1165 9,1115 55,04 55,04 501,77216 501,49696 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-24 9,1135 9,1085 55,283 55,283 503,8216205 503,5452055 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-29 9,1315 9,1265 55,213 55,213 504,1775095 503,9014445 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-30 9,1425 9,1375 55,375 55,375 506,2659375 505,9890625 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-03-31 9,1405 9,1355 55,586 55,586 508,083833 507,805903 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-01 9,1645 9,1595 55,764 55,764 511,049178 510,770358 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-04 9,1695 9,1645 55,325 55,325 507,3025875 507,0259625 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-05 9,1745 9,1695 55,74 55,74 511,38663 511,10793 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-06 9,1705 9,1655 56,051 56,051 514,0156955 513,7354405 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-07 9,1505 9,1455 56,27 56,27 514,898635 514,617285 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-08 9,1625 9,1575 56,512 56,512 517,7912 517,50864 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-11 9,1705 9,1655 56,286 56,286 516,170763 515,889333 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-12 9,1525 9,1475 56,39 56,39 516,109475 515,827525 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-13 9,1495 9,1445 56,551 56,551 517,4133745 517,1306195 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-14 9,1685 9,1635 56,262 56,262 515,838147 515,556837 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-15 9,1925 9,1875 55,578 55,578 510,900765 510,622875 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-18 9,1805 9,1755 54,642 54,642 501,640881 501,367671 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-19 9,2035 9,1985 54,895 54,895 505,2261325 504,9516575 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-20 9,1915 9,1865 55,027 55,027 505,7806705 505,5055355 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-21 9,1855 9,1805 54,574 54,574 501,289477 501,016607 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-22 9,1625 9,1575 54,884 54,884 502,87465 502,60023 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-25 9,1685 9,1635 55,045 55,045 504,6800825 504,4048575 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-26 9,1375 9,1325 54,996 54,996 502,52595 502,25097 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-27 9,1465 9,1415 54,485 54,485 498,3470525 498,0746275 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-28 9,1505 9,1455 54,135 54,135 495,3623175 495,0916425 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-04-29 9,1705 9,1655 54,321 54,321 498,1507305 497,8791255 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-02 9,1935 9,1885 54,539 54,539 501,4042965 501,1316015 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-03 9,2245 9,2195 54,63 54,63 503,934435 503,661285 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-04 9,1915 9,1865 54,62 54,62 502,03973 501,76663 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-06 9,1715 9,1665 55,138 55,138 505,698167 505,422477 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-09 9,1815 9,1765 55,269 55,269 507,4523235 507,1759785 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-10 9,1985 9,1935 55,163 55,163 507,4168555 507,1410405 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-11 9,2105 9,2055 54,841 54,841 505,1130305 504,8388255 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-12 9,2315 9,2265 55,146 55,146 509,080299 508,804569 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-13 9,2045 9,1995 55,044 55,044 506,652498 506,377278 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-16 9,2145 9,2095 54,982 54,982 506,631639 506,356729 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-17 9,2325 9,2275 54,983 54,983 507,6305475 507,3556325 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-18 9,2095 9,2045 55,512 55,512 511,237764 510,960204 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-19 9,1905 9,1855 56,064 56,064 515,256192 514,975872 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-20 9,1955 9,1905 56,231 56,231 517,0721605 516,7910055 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-23 9,1805 9,1755 56,492 56,492 518,624806 518,342346 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-24 9,1815 9,1765 56,526 56,526 518,993469 518,710839 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-25 9,1785 9,1735 56,626 56,626 519,741741 519,458611 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-26 9,1945 9,1895 56,853 56,853 522,7349085 522,4506435 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-27 9,1955 9,1905 56,933 56,933 523,5274015 523,2427365 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-30 9,1905 9,1855 57,231 57,231 525,9815055 525,6953505 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-05-31 9,1665 9,1615 57,464 57,464 526,743756 526,456436 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-01 9,1455 9,1405 57,659 57,659 527,3203845 527,0320895 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-02 9,1565 9,1515 58,066 58,066 531,681329 531,390999 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-03 9,1315 9,1265 58,079 58,079 530,3483885 530,0579935 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-07 9,1455 9,1405 58,021 58,021 530,6310555 530,3409505 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-08 9,1455 9,1405 58,234 58,234 532,579047 532,287877 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-09 9,1965 9,1915 58,138 58,138 534,666117 534,375427 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-10 9,1975 9,1925 58,816 58,816 540,96016 540,66608 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-13 9,2365 9,2315 58,944 58,944 544,436256 544,141536 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-14 9,2985 9,2935 59,063 59,063 549,1973055 548,9019905 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-15 9,2695 9,2645 59,353 59,353 550,1726335 549,8758685 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-16 9,2695 9,2645 59,489 59,489 551,4332855 551,1358405 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-17 9,2695 9,2645 59,79 59,79 554,223405 553,924455 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-20 9,2255 9,2205 59,474 59,474 548,677387 548,380017 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-21 9,2725 9,2675 59,765 59,765 554,1709625 553,8721375 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-22 9,2615 9,2565 60,148 60,148 557,060702 556,759962 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-23 9,3535 9,3485 60,372 60,372 564,689502 564,387642 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-27 9,3855 9,3805 59,396 59,396 557,461158 557,164178 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-28 9,3995 9,3945 59,726 59,726 561,394537 561,095907 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-29 9,4215 9,4165 59,967 59,967 564,9790905 564,6792555 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-06-30 9,4415 9,4365 59,976 59,976 566,263404 565,963524 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-01 9,4595 9,4545 60,062 60,062 568,156489 567,856179 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-04 9,4795 9,4745 60,521 60,521 573,7088195 573,4062145 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-05 9,4575 9,4525 60,364 60,364 570,89253 570,59071 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-06 9,4195 9,4145 60,866 60,866 573,327287 573,022957 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-07 9,3965 9,3915 59,514 59,514 559,223301 558,925731 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-08 9,4175 9,4125 60,503 60,503 569,7870025 569,4844875 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-11 9,4665 9,4615 61,029 61,029 577,7310285 577,4258835 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-12 9,4645 9,4595 61,011 61,011 577,4386095 577,1335545 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-13 9,3915 9,3865 61,274 61,274 575,454771 575,148401 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-14 9,3675 9,3625 61,821 61,821 579,1082175 578,7991125 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-15 9,4055 9,4005 61,585 61,585 579,2377175 578,9297925 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-18 9,3895 9,3845 61,517 61,517 577,6138715 577,3062865 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-19 9,4425 9,4375 61,44 61,44 580,1472 579,84 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-20 9,4265 9,4215 61,477 61,477 579,5129405 579,2055555 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-21 9,4625 9,4575 61,618 61,618 583,060325 582,752235 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-22 9,4495 9,4445 61,286 61,286 579,122057 578,815627 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-25 9,4275 9,4225 61,612 61,612 580,84713 580,53907 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-26 9,4155 9,4105 61,955 61,955 583,3373025 583,0275275 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-27 9,4725 9,4675 62,031 62,031 587,5886475 587,2784925 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-28 9,4515 9,4465 62,309 62,309 588,9135135 588,6019685 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-07-29 9,3885 9,3835 62,517 62,517 586,9408545 586,6282695 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-01 9,3985 9,3935 62,389 62,389 586,3630165 586,0510715 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-02 9,3995 9,3945 62,638 62,638 588,765881 588,452691 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-03 9,3755 9,3705 62,937 62,937 590,0658435 589,7511585 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-04 9,3735 9,3685 62,695 62,695 587,6715825 587,3581075 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-05 9,3355 9,3305 62,608 62,608 584,476984 584,163944 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-08 9,3335 9,3285 62,794 62,794 586,087799 585,773829 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-09 9,3455 9,3405 62,786 62,786 586,766563 586,452633 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-10 9,3535 9,3485 63,409 63,409 593,0960815 592,7790365 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-11 9,3365 9,3315 63,24 63,24 590,44026 590,12406 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-12 9,3025 9,2975 63,096 63,096 586,95054 586,63506 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-15 9,3065 9,3015 63,282 63,282 588,933933 588,617523 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-16 9,2995 9,2945 63,262 63,262 588,304969 587,988659 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-17 9,3405 9,3355 62,832 62,832 586,882296 586,568136 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-18 9,3365 9,3315 62,676 62,676 585,174474 584,861094 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-19 9,3395 9,3345 62,822 62,822 586,726069 586,411959 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-22 9,3655 9,3605 63,207 63,207 591,9651585 591,6491235 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-23 9,3715 9,3665 62,883 62,883 589,3080345 588,9936195 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-24 9,3365 9,3315 62,482 62,482 583,363193 583,050783 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-25 9,3335 9,3285 62,083 62,083 579,4516805 579,1412655 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-26 9,3415 9,3365 62,27 62,27 581,695205 581,383855 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-29 9,3295 9,3245 61,843 61,843 576,9642685 576,6550535 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-30 9,3285 9,3235 62,479 62,479 582,8353515 582,5229565 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-08-31 9,3585 9,3535 62,479 62,479 584,7097215 584,3973265 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-01 9,3365 9,3315 63,022 63,022 588,404903 588,089793 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-02 9,3025 9,2975 62,892 62,892 585,05283 584,73837 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-05 9,2845 9,2795 63,103 63,103 585,8798035 585,5642885 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-06 9,3225 9,3175 63,541 63,541 592,3609725 592,0432675 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-07 9,3075 9,3025 63,857 63,857 594,3490275 594,0297425 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-08 9,3255 9,3205 63,826 63,826 595,209363 594,890233 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-09 9,3445 9,3395 64,017 64,017 598,2068565 597,8867715 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-12 9,3015 9,2965 64,276 64,276 597,863214 597,541834 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-13 9,3015 9,2965 63,962 63,962 594,942543 594,622733 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-14 9,3365 9,3315 63,96 63,96 597,16254 596,84274 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-15 9,3425 9,3375 64,341 64,341 601,1057925 600,7840875 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-16 9,3465 9,3415 64,652 64,652 604,269918 603,946658 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-19 9,3355 9,3305 64,901 64,901 605,8832855 605,5587805 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-20 9,3395 9,3345 65,128 65,128 608,262956 607,937316 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-21 9,3405 9,3355 64,642 64,642 603,788601 603,465391 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-22 9,3405 9,3355 64,234 64,234 599,977677 599,656507 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-23 9,3695 9,3645 64,528 64,528 604,595096 604,272456 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-26 9,3815 9,3765 65,13 65,13 611,017095 610,691445 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-27 9,3885 9,3835 65,168 65,168 611,829768 611,503928 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-28 9,3935 9,3885 65,618 65,618 616,382683 616,054593 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-29 9,3845 9,3795 65,679 65,679 616,3645755 616,0361805 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-09-30 9,3435 9,3385 65,861 65,861 615,3722535 615,0429485 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-03 9,3025 9,2975 66,307 66,307 616,8208675 616,4893325 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-04 9,3185 9,3135 66,431 66,431 619,0372735 618,7051185 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-05 9,3105 9,3055 64,883 64,883 604,0931715 603,7687565 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-06 9,3015 9,2965 64,883 64,883 603,5092245 603,1848095 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-07 9,3385 9,3335 64,737 64,737 604,5464745 604,2227895 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-10 9,3465 9,3415 65,208 65,208 609,466572 609,140532 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-11 9,3395 9,3345 65,322 65,322 610,074819 609,748209 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-12 9,3375 9,3325 64,87 64,87 605,723625 605,399275 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-13 9,3815 9,3765 64,007 64,007 600,4816705 600,1616355 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-14 9,4135 9,4085 63,734 63,734 599,960009 599,641339 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-17 9,4575 9,4525 64,141 64,141 606,6135075 606,2928025 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-18 9,4625 9,4575 64,241 64,241 607,8804625 607,5592575 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-19 9,4605 9,4555 62,866 62,866 594,743793 594,429463 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-20 9,4935 9,4885 63,498 63,498 602,818263 602,500773 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-21 9,4915 9,4865 62,687 62,687 594,9936605 594,6802255 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-24 9,5455 9,5405 63,2 63,2 603,2756 602,9596 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-25 9,5465 9,5415 63,452 63,452 605,744518 605,427258 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-26 9,4975 9,4925 63,532 63,532 603,39517 603,07751 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-27 9,5355 9,5305 63,1 63,1 601,69005 601,37455 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-28 9,5135 9,5085 62,45 62,45 594,118075 593,805825 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-10-31 9,5495 9,5445 63,896 63,896 610,174852 609,855372 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-01 9,5495 9,5445 64,434 64,434 615,312483 614,990313 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-02 9,5855 9,5805 64,473 64,473 618,0059415 617,6835765 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-03 9,6515 9,6465 65,186 65,186 629,142679 628,816749 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-04 9,5875 9,5825 65,474 65,474 627,731975 627,404605 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-07 9,6075 9,6025 65,488 65,488 629,17596 628,84852 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-08 9,5685 9,5635 65,849 65,849 630,0761565 629,7469115 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-09 9,5575 9,5525 65,702 65,702 627,946865 627,618355 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-10 9,6105 9,6055 65,919 65,919 633,5145495 633,1849545 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-11 9,6365 9,6315 66,195 66,195 637,8881175 637,5571425 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-14 9,5505 9,5455 66,533 66,533 635,4234165 635,0907515 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-15 9,5805 9,5755 66,122 66,122 633,481821 633,151211 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-16 9,6235 9,6185 65,548 65,548 630,801178 630,473438 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-17 9,6355 9,6305 66,174 66,174 637,619577 637,288707 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-18 9,6085 9,6035 66,664 66,664 640,541044 640,207724 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-21 9,5915 9,5865 66,403 66,403 636,9043745 636,5723595 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-22 9,5585 9,5535 66,817 66,817 638,6702945 638,3362095 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-23 9,5155 9,5105 66,989 66,989 637,4338295 637,0988845 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-24 9,5125 9,5075 66,977 66,977 637,1187125 636,7838275 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-25 9,4965 9,4915 67,27 67,27 638,829555 638,493205 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-28 9,4835 9,4785 67,407 67,407 639,2542845 638,9172495 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-29 9,4785 9,4735 66,884 66,884 633,959994 633,625574 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-11-30 9,5295 9,5245 66,653 66,653 635,1697635 634,8364985 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-01 9,5165 9,5115 67,045 67,045 638,0337425 637,6985175 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-02 9,4905 9,4855 67,791 67,791 643,3704855 643,0315305 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-05 9,4065 9,4015 67,903 67,903 638,7295695 638,3900545 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-07 9,4255 9,4205 68,339 68,339 644,1292445 643,7875495 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-08 9,3965 9,3915 67,829 67,829 637,3551985 637,0160535 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-12 9,4315 9,4265 68,331 68,331 644,4638265 644,1221715 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-13 9,4295 9,4245 68,472 68,472 645,656724 645,314364 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-14 9,4365 9,4315 68,243 68,243 643,9750695 643,6338545 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-15 9,4345 9,4295 68,052 68,052 642,036594 641,696334 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-16 9,4765 9,4715 68,457 68,457 648,7327605 648,3904755 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-19 9,4535 9,4485 68,323 68,323 645,8914805 645,5498655 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-20 9,4015 9,3965 68,359 68,359 642,6771385 642,3353435 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-21 9,4485 9,4435 68,788 68,788 649,943418 649,599478 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-22 9,4365 9,4315 68,737 68,737 648,6367005 648,2930155 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-23 9,4425 9,4375 68,879 68,879 650,3899575 650,0455625 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-27 9,4915 9,4865 69,057 69,057 655,4545155 655,1092305 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-28 9,4345 9,4295 69,002 69,002 650,999369 650,654359 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-29 9,4115 9,4065 69,086 69,086 650,202889 649,857459 764951 Evli-Fondbolag Ab Evli Europe EUR 2005-12-30 9,4325 9,4275 68,915 68,915 650,0407375 649,6961625 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-03 9,0065 9,0015 89,636 89,636 807,306634 806,858454 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-04 9,0345 9,0295 89,781 89,781 811,1264445 810,6775395 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-05 9,0615 9,0565 89,323 89,323 809,4003645 808,9537495 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-07 9,0615 9,0565 90,011 90,011 815,6346765 815,1846215 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-10 9,08619 9,08119 90,186 90,186 819,44713134 818,99620134 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-11 9,08619 9,08119 89,881 89,881 816,67584339 816,22643839 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-12 9,0455 9,0405 89,701 89,701 811,3903955 810,9418905 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-13 9,0505 9,0455 89,304 89,304 808,245852 807,799332 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-14 9,0455 9,0405 89,886 89,886 813,063813 812,614383 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-17 9,0685 9,0635 90,19 90,19 817,888015 817,437065 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-18 9,0585 9,0535 90,191 90,191 816,9951735 816,5442185 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-19 9,0225 9,0175 90,65 90,65 817,889625 817,436375 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-20 9,0315 9,0265 90,333 90,333 815,8424895 815,3908245 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-21 9,0505 9,0455 90,294 90,294 817,205847 816,754377 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-24 9,0655 9,0605 90,327 90,327 818,8594185 818,4077835 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-25 9,0715 9,0665 90,721 90,721 822,9755515 822,5219465 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-26 9,0885 9,0835 90,917 90,917 826,2991545 825,8445695 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-27 9,0675 9,0625 90,776 90,776 823,11138 822,6575 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-28 9,0955 9,0905 90,919 90,919 826,9537645 826,4991695 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-01-31 9,1075 9,1025 91,09 91,09 829,602175 829,146725 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-01 9,1035 9,0985 91,326 91,326 831,386241 830,929611 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-02 9,0905 9,0855 91,797 91,797 834,4806285 834,0216435 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-03 9,0695 9,0645 91,929 91,929 833,7500655 833,2904205 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-04 9,0895 9,0845 92,217 92,217 838,2064215 837,7453365 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-07 9,0755 9,0705 92,751 92,751 841,7617005 841,2979455 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-08 9,0895 9,0845 92,892 92,892 844,341834 843,877374 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-09 9,0695 9,0645 92,96 92,96 843,10072 842,63592 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-10 9,0805 9,0755 92,954 92,954 844,068797 843,604027 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-11 9,0935 9,0885 93,266 93,266 848,114371 847,648041 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-14 9,1105 9,1055 93,534 93,534 852,141507 851,673837 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-15 9,0765 9,0715 93,692 93,692 850,395438 849,926978 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-16 9,0705 9,0655 93,464 93,464 847,765212 847,297892 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-17 9,0925 9,0875 93,676 93,676 851,74903 851,28065 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-18 9,0945 9,0895 93,963 93,963 854,5465035 854,0766885 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-21 9,1185 9,1135 93,637 93,637 853,8289845 853,3607995 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-22 9,0975 9,0925 92,991 92,991 845,9856225 845,5206675 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-23 9,1045 9,0995 92,513 92,513 842,2846085 841,8220435 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-24 9,0715 9,0665 92,705 92,705 840,9734075 840,5098825 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-25 9,0845 9,0795 93,184 93,184 846,530048 846,064128 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-02-28 9,0505 9,0455 93,54 93,54 846,58377 846,11607 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-01 9,0565 9,0515 93,561 93,561 847,3351965 846,8673915 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-02 9,0645 9,0595 93,556 93,556 848,038362 847,570582 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-03 9,0675 9,0625 93,636 93,636 849,04443 848,57625 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-04 9,0415 9,0365 93,787 93,787 847,9751605 847,5062255 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-07 9,0425 9,0375 94,197 94,197 851,7763725 851,3053875 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-08 9,0345 9,0295 94,087 94,087 850,0290015 849,5585665 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-09 9,0365 9,0315 93,877 93,877 848,3195105 847,8501255 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-10 9,0655 9,0605 93,107 93,107 844,0615085 843,5959735 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-11 9,0795 9,0745 93,276 93,276 846,899442 846,433062 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-14 9,0695 9,0645 92,995 92,995 843,4181525 842,9531775 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-15 9,1035 9,0985 93,279 93,279 849,1653765 848,6989815 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-16 9,0975 9,0925 93,211 93,211 847,9870725 847,5210175 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-17 9,1045 9,0995 92,893 92,893 845,7443185 845,2798535 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-18 9,1035 9,0985 92,995 92,995 846,5799825 846,1150075 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-21 9,1265 9,1215 93,101 93,101 849,6862765 849,2207715 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-22 9,1265 9,1215 92,681 92,681 845,8531465 845,3897415 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-23 9,1165 9,1115 92,419 92,419 842,5378135 842,0757185 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-24 9,1135 9,1085 92,618 92,618 844,074143 843,611053 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-29 9,1315 9,1265 92,536 92,536 844,992484 844,529804 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-30 9,1425 9,1375 92,759 92,759 848,0491575 847,5853625 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-03-31 9,1405 9,1355 92,959 92,959 849,6917395 849,2269445 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-01 9,1645 9,1595 93,317 93,317 855,2036465 854,7370615 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-04 9,1695 9,1645 92,874 92,874 851,608143 851,143773 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-05 9,1745 9,1695 93,391 93,391 856,8157295 856,3487745 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-06 9,1705 9,1655 93,645 93,645 858,7714725 858,3032475 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-07 9,1505 9,1455 93,796 93,796 858,280298 857,811318 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-08 9,1625 9,1575 94,011 94,011 861,3757875 860,9057325 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-11 9,1705 9,1655 93,797 93,797 860,1653885 859,6964035 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-12 9,1525 9,1475 93,879 93,879 859,2275475 858,7581525 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-13 9,1495 9,1445 93,973 93,973 859,8059635 859,3360985 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-14 9,1685 9,1635 93,655 93,655 858,6758675 858,2075925 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-15 9,1925 9,1875 93,136 93,136 856,15268 855,687 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-18 9,1805 9,1755 92,167 92,167 846,1391435 845,6783085 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-19 9,2035 9,1985 92,506 92,506 851,378971 850,916441 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-20 9,1915 9,1865 92,561 92,561 850,7744315 850,3116265 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-21 9,1855 9,1805 91,994 91,994 845,010887 844,550917 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-22 9,1625 9,1575 92,255 92,255 845,2864375 844,8251625 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-25 9,1685 9,1635 92,479 92,479 847,8937115 847,4313165 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-26 9,1375 9,1325 92,372 92,372 844,04915 843,58729 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-27 9,1465 9,1415 91,825 91,825 839,8773625 839,4182375 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-28 9,1505 9,1455 91,578 91,578 837,984489 837,526599 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-04-29 9,1705 9,1655 91,729 91,729 841,2007945 840,7421495 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-02 9,1935 9,1885 92,04 92,04 846,16974 845,70954 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-03 9,2245 9,2195 92,183 92,183 850,3420835 849,8811685 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-04 9,1915 9,1865 92,153 92,153 847,0242995 846,5635345 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-06 9,1715 9,1665 92,779 92,779 850,9225985 850,4587035 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-09 9,1815 9,1765 92,89 92,89 852,869535 852,405085 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-10 9,1985 9,1935 92,807 92,807 853,6851895 853,2211545 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-11 9,2105 9,2055 92,447 92,447 851,4830935 851,0208585 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-12 9,2315 9,2265 92,799 92,799 856,6739685 856,2099735 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-13 9,2045 9,1995 92,584 92,584 852,189428 851,726508 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-16 9,2145 9,2095 92,419 92,419 851,5948755 851,1327805 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-17 9,2325 9,2275 92,416 92,416 853,23072 852,76864 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-18 9,2095 9,2045 92,988 92,988 856,372986 855,908046 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-19 9,1905 9,1855 93,805 93,805 862,1148525 861,6458275 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-20 9,1955 9,1905 94,125 94,125 865,5264375 865,0558125 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-23 9,1805 9,1755 94,449 94,449 867,0890445 866,6167995 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-24 9,1815 9,1765 94,571 94,571 868,3036365 867,8307815 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-25 9,1785 9,1735 94,72 94,72 869,38752 868,91392 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-26 9,1945 9,1895 95,013 95,013 873,5970285 873,1219635 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-27 9,1955 9,1905 95,093 95,093 874,4276815 873,9522165 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-30 9,1905 9,1855 95,328 95,328 876,111984 875,635344 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-05-31 9,1665 9,1615 95,708 95,708 877,307382 876,828842 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-01 9,1455 9,1405 95,944 95,944 877,455852 876,976132 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-02 9,1565 9,1515 96,525 96,525 883,8311625 883,3485375 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-03 9,1315 9,1265 96,525 96,525 881,4180375 880,9354125 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-07 9,1455 9,1405 96,525 96,525 882,7693875 882,2867625 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-08 9,1455 9,1405 96,832 96,832 885,577056 885,092896 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-09 9,1965 9,1915 96,582 96,582 888,216363 887,733453 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-10 9,1975 9,1925 97,543 97,543 897,1517425 896,6640275 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-13 9,2365 9,2315 97,517 97,517 900,7157705 900,2281855 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-14 9,2985 9,2935 97,697 97,697 908,4355545 907,9470695 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-15 9,2695 9,2645 97,887 97,887 907,3635465 906,8741115 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-16 9,2695 9,2645 97,969 97,969 908,1236455 907,6338005 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-17 9,2695 9,2645 98,49 98,49 912,953055 912,460605 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-20 9,2255 9,2205 98,068 98,068 904,726334 904,235994 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-21 9,2725 9,2675 98,525 98,525 913,5730625 913,0804375 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-22 9,2615 9,2565 99,028 99,028 917,147822 916,652682 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-23 9,3535 9,3485 99,32 99,32 928,98962 928,49302 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-27 9,3855 9,3805 98,191 98,191 921,5716305 921,0806755 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-28 9,3995 9,3945 98,598 98,598 926,771901 926,278911 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-29 9,4215 9,4165 98,937 98,937 932,1349455 931,6402605 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-06-30 9,4415 9,4365 98,985 98,985 934,5668775 934,0719525 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-01 9,4595 9,4545 99,16 99,16 938,00402 937,50822 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-04 9,4795 9,4745 99,645 99,645 944,5847775 944,0865525 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-05 9,4575 9,4525 99,324 99,324 939,35673 938,86011 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-06 9,4195 9,4145 99,93 99,93 941,290635 940,790985 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-07 9,3965 9,3915 98,188 98,188 922,623542 922,132602 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-08 9,4175 9,4125 99,366 99,366 935,779305 935,282475 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-11 9,4665 9,4615 99,972 99,972 946,384938 945,885078 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-12 9,4645 9,4595 99,859 99,859 945,1155055 944,6162105 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-13 9,3915 9,3865 100,126 100,126 940,333329 939,832699 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-14 9,3675 9,3625 100,762 100,762 943,888035 943,384225 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-15 9,4055 9,4005 100,514 100,514 945,384427 944,881857 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-18 9,3895 9,3845 100,409 100,409 942,7903055 942,2882605 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-19 9,4425 9,4375 100,206 100,206 946,195155 945,694125 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-20 9,4265 9,4215 100,218 100,218 944,704977 944,203887 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-21 9,4625 9,4575 100,66 100,66 952,49525 951,99195 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-22 9,4495 9,4445 100,289 100,289 947,6809055 947,1794605 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-25 9,4275 9,4225 100,832 100,832 950,59368 950,08952 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-26 9,4155 9,4105 101,318 101,318 953,959629 953,453039 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-27 9,4725 9,4675 101,458 101,458 961,060905 960,553615 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-28 9,4515 9,4465 101,634 101,634 960,593751 960,085581 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-07-29 9,3885 9,3835 102,024 102,024 957,852324 957,342204 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-01 9,3985 9,3935 101,768 101,768 956,466548 955,957708 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-02 9,3995 9,3945 101,947 101,947 958,2508265 957,7410915 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-03 9,3755 9,3705 102,315 102,315 959,2542825 958,7427075 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-04 9,3735 9,3685 101,83 101,83 954,503505 953,994355 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-05 9,3355 9,3305 101,752 101,752 949,905796 949,397036 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-08 9,3335 9,3285 101,959 101,959 951,6343265 951,1245315 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-09 9,3455 9,3405 101,828 101,828 951,633574 951,124434 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-10 9,3535 9,3485 102,903 102,903 962,5032105 961,9886955 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-11 9,3365 9,3315 102,7 102,7 958,85855 958,34505 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-12 9,3025 9,2975 102,667 102,667 955,0597675 954,5464325 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-15 9,3065 9,3015 102,996 102,996 958,532274 958,017294 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-16 9,2995 9,2945 103,044 103,044 958,257678 957,742458 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-17 9,3405 9,3355 102,496 102,496 957,363888 956,851408 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-18 9,3365 9,3315 102,329 102,329 955,3947085 954,8830635 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-19 9,3395 9,3345 102,563 102,563 957,8871385 957,3743235 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-22 9,3655 9,3605 103,132 103,132 965,882746 965,367086 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-23 9,3715 9,3665 102,699 102,699 962,4436785 961,9301835 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-24 9,3365 9,3315 102,326 102,326 955,366699 954,855069 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-25 9,3335 9,3285 101,828 101,828 950,411638 949,902498 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-26 9,3415 9,3365 102,092 102,092 953,692418 953,181958 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-29 9,3295 9,3245 101,626 101,626 948,119767 947,611637 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-30 9,3285 9,3235 102,325 102,325 954,5387625 954,0271375 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-08-31 9,3585 9,3535 102,325 102,325 957,6085125 957,0968875 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-01 9,3365 9,3315 103,014 103,014 961,790211 961,275141 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-02 9,3025 9,2975 102,963 102,963 957,8133075 957,2984925 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-05 9,2845 9,2795 103,235 103,235 958,4853575 957,9691825 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-06 9,3225 9,3175 103,761 103,761 967,3119225 966,7931175 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-07 9,3075 9,3025 104,149 104,149 969,3668175 968,8460725 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-08 9,3255 9,3205 104,062 104,062 970,430181 969,909871 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-09 9,3445 9,3395 104,403 104,403 975,5938335 975,0718185 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-12 9,3015 9,2965 104,62 104,62 973,12293 972,59983 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-13 9,3015 9,2965 103,953 103,953 966,9188295 966,3990645 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-14 9,3365 9,3315 103,967 103,967 970,6878955 970,1680605 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-15 9,3425 9,3375 104,372 104,372 975,09541 974,57355 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-16 9,3465 9,3415 104,869 104,869 980,1581085 979,6337635 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-19 9,3355 9,3305 105,16 105,16 981,72118 981,19538 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-20 9,3395 9,3345 105,439 105,439 984,7475405 984,2203455 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-21 9,3405 9,3355 104,776 104,776 978,660228 978,136348 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-22 9,3405 9,3355 104,252 104,252 973,765806 973,244546 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-23 9,3695 9,3645 104,613 104,613 980,1715035 979,6484385 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-26 9,3815 9,3765 105,336 105,336 988,209684 987,683004 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-27 9,3885 9,3835 105,378 105,378 989,341353 988,814463 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-28 9,3935 9,3885 105,93 105,93 995,053455 994,523805 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-29 9,3845 9,3795 106,034 106,034 995,076073 994,545903 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-09-30 9,3435 9,3385 106,244 106,244 992,690814 992,159594 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-03 9,3025 9,2975 106,82 106,82 993,69305 993,15895 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-04 9,3185 9,3135 107,196 107,196 998,905926 998,369946 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-05 9,3105 9,3055 106,864 106,864 994,957272 994,422952 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-06 9,3015 9,2965 105,23 105,23 978,796845 978,270695 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-07 9,3385 9,3335 104,893 104,893 979,5432805 979,0188155 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-10 9,3465 9,3415 105,593 105,593 986,9249745 986,3970095 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-11 9,3395 9,3345 105,802 105,802 988,137779 987,608769 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-12 9,3375 9,3325 105,189 105,189 982,2022875 981,6763425 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-13 9,3815 9,3765 104,066 104,066 976,295179 975,774849 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-14 9,4135 9,4085 103,691 103,691 976,0952285 975,5767735 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-17 9,4575 9,4525 103,691 103,691 980,6576325 980,1391775 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-18 9,4625 9,4575 104,28 104,28 986,7495 986,2281 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-19 9,4605 9,4555 102,54 102,54 970,07967 969,56697 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-20 9,4935 9,4885 103,403 103,403 981,6563805 981,1393655 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-21 9,4915 9,4865 102,614 102,614 973,960781 973,447711 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-24 9,5455 9,5405 103,296 103,296 986,011968 985,495488 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-25 9,5465 9,5415 103,478 103,478 987,852727 987,335337 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-26 9,4975 9,4925 103,521 103,521 983,1906975 982,6730925 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-27 9,5355 9,5305 103,039 103,039 982,5283845 982,0131895 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-28 9,5135 9,5085 102,276 102,276 973,002726 972,491346 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-10-31 9,5495 9,5445 104,337 104,337 996,3661815 995,8444965 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-01 9,5495 9,5445 105,039 105,039 1003,0699305 1002,5447355 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-02 9,5855 9,5805 105,001 105,001 1006,4870855 1005,9620805 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-03 9,6515 9,6465 105,971 105,971 1022,7791065 1022,2492515 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-04 9,5875 9,5825 106,299 106,299 1019,1416625 1018,6101675 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-07 9,6075 9,6025 106,281 106,281 1021,0947075 1020,5633025 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-08 9,5685 9,5635 106,779 106,779 1021,7148615 1021,1809665 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-09 9,5575 9,5525 106,627 106,627 1019,0875525 1018,5544175 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-10 9,6105 9,6055 106,778 106,778 1026,189969 1025,656079 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-11 9,6365 9,6315 107,153 107,153 1032,5798845 1032,0441195 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-14 9,5505 9,5455 107,746 107,746 1029,028173 1028,489443 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-15 9,5805 9,5755 107,242 107,242 1027,431981 1026,895771 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-16 9,6235 9,6185 106,511 106,511 1025,0086085 1024,4760535 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-17 9,6355 9,6305 107,432 107,432 1035,161036 1034,623876 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-18 9,6085 9,6035 108,078 108,078 1038,467463 1037,927073 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-21 9,5915 9,5865 107,63 107,63 1032,333145 1031,794995 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-22 9,5585 9,5535 108,235 108,235 1034,5642475 1034,0230725 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-23 9,5155 9,5105 108,502 108,502 1032,450781 1031,908271 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-24 9,5125 9,5075 108,519 108,519 1032,2869875 1031,7443925 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-25 9,4965 9,4915 108,895 108,895 1034,1213675 1033,5768925 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-28 9,4835 9,4785 109,022 109,022 1033,910137 1033,365027 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-29 9,4785 9,4735 108,418 108,418 1027,640013 1027,097923 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-11-30 9,5295 9,5245 108,106 108,106 1030,196127 1029,655597 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-01 9,5165 9,5115 108,748 108,748 1034,900342 1034,356602 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-02 9,4905 9,4855 109,626 109,626 1040,405553 1039,857423 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-05 9,4065 9,4015 109,834 109,834 1033,153521 1032,604351 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-07 9,4255 9,4205 110,484 110,484 1041,366942 1040,814522 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-08 9,3965 9,3915 109,615 109,615 1029,9973475 1029,4492725 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-12 9,4315 9,4265 110,311 110,311 1040,3981965 1039,8466415 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-13 9,4295 9,4245 110,493 110,493 1041,8937435 1041,3412785 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-14 9,4365 9,4315 110,128 110,128 1039,222872 1038,672232 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-15 9,4345 9,4295 109,83 109,83 1036,191135 1035,641985 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-16 9,4765 9,4715 110,561 110,561 1047,7313165 1047,1785115 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-19 9,4535 9,4485 110,377 110,377 1043,4489695 1042,8970845 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-20 9,4015 9,3965 110,379 110,379 1037,7281685 1037,1762735 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-21 9,4485 9,4435 111,185 111,185 1050,5314725 1049,9755475 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-22 9,4365 9,4315 111,248 111,248 1049,791752 1049,235512 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-23 9,4425 9,4375 111,417 111,417 1052,0550225 1051,4979375 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-27 9,4915 9,4865 111,704 111,704 1060,238516 1059,679996 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-28 9,4345 9,4295 111,73 111,73 1054,116685 1053,558035 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-29 9,4115 9,4065 111,871 111,871 1052,8739165 1052,3145615 693291 Evli-Fondbolag Ab Evli European Allocation EUR 2005-12-30 9,4325 9,4275 111,527 111,527 1051,9784275 1051,4207925 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-03 9,0065 9,0015 126,823 126,823 1142,2313495 1141,5972345 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-04 9,0345 9,0295 126,879 126,879 1146,2883255 1145,6539305 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-05 9,0615 9,0565 126,782 126,782 1148,835093 1148,201183 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-07 9,0615 9,0565 126,697 126,697 1148,0648655 1147,4313805 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-10 9,08619 9,08119 126,758 126,758 1151,74727202 1151,11348202 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-11 9,08619 9,08119 126,743 126,743 1151,61097917 1150,97726417 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-12 9,0455 9,0405 126,724 126,724 1146,281942 1145,648322 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-13 9,0505 9,0455 126,745 126,745 1147,1056225 1146,4718975 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-14 9,0455 9,0405 126,729 126,729 1146,3271695 1145,6935245 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-17 9,0685 9,0635 126,816 126,816 1150,030896 1149,396816 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-18 9,0585 9,0535 126,633 126,633 1147,1050305 1146,4718655 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-19 9,0225 9,0175 126,765 126,765 1143,7372125 1143,1033875 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-20 9,0315 9,0265 126,745 126,745 1144,6974675 1144,0637425 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-21 9,0505 9,0455 126,812 126,812 1147,712006 1147,077946 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-24 9,0655 9,0605 126,89 126,89 1150,321295 1149,686845 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-25 9,0715 9,0665 127,005 127,005 1152,1258575 1151,4908325 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-26 9,0885 9,0835 127,216 127,216 1156,202616 1155,566536 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-27 9,0675 9,0625 127,292 127,292 1154,22021 1153,58375 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-28 9,0955 9,0905 127,316 127,316 1158,002678 1157,366098 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-01-31 9,1075 9,1025 127,384 127,384 1160,14978 1159,51286 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-01 9,1035 9,0985 127,413 127,413 1159,9042455 1159,2671805 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-02 9,0905 9,0855 127,614 127,614 1160,075067 1159,436997 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-03 9,0695 9,0645 127,656 127,656 1157,776092 1157,137812 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-04 9,0895 9,0845 127,798 127,798 1161,619921 1160,980931 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-07 9,0755 9,0705 127,965 127,965 1161,3463575 1160,7065325 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-08 9,0895 9,0845 128,296 128,296 1166,146492 1165,505012 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-09 9,0695 9,0645 128,492 128,492 1165,358194 1164,715734 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-10 9,0805 9,0755 128,574 128,574 1167,516207 1166,873337 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-11 9,0935 9,0885 128,695 128,695 1170,2879825 1169,6445075 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-14 9,1105 9,1055 128,875 128,875 1174,1156875 1173,4713125 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-15 9,0765 9,0715 129,007 129,007 1170,9320355 1170,2870005 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-16 9,0705 9,0655 129,156 129,156 1171,509498 1170,863718 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-17 9,0925 9,0875 129,012 129,012 1173,04161 1172,39655 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-18 9,0945 9,0895 129,037 129,037 1173,5269965 1172,8818115 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-21 9,1185 9,1135 128,991 128,991 1176,2044335 1175,5594785 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-22 9,0975 9,0925 128,923 128,923 1172,8769925 1172,2323775 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-23 9,1045 9,0995 128,809 128,809 1172,7415405 1172,0974955 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-24 9,0715 9,0665 128,89 128,89 1169,225635 1168,581185 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-25 9,0845 9,0795 128,893 128,893 1170,9284585 1170,2839935 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-02-28 9,0505 9,0455 129,139 129,139 1168,7725195 1168,1268245 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-01 9,0565 9,0515 129,241 129,241 1170,4711165 1169,8249115 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-02 9,0645 9,0595 129,275 129,275 1171,8132375 1171,1668625 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-03 9,0675 9,0625 129,276 129,276 1172,21013 1171,56375 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-04 9,0415 9,0365 129,313 129,313 1169,1834895 1168,5369245 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-07 9,0425 9,0375 129,506 129,506 1171,058005 1170,410475 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-08 9,0345 9,0295 129,591 129,591 1170,7898895 1170,1419345 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-09 9,0365 9,0315 129,599 129,599 1171,1213635 1170,4733685 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-10 9,0655 9,0605 129,368 129,368 1172,785604 1172,138764 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-11 9,0795 9,0745 129,33 129,33 1174,251735 1173,605085 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-14 9,0695 9,0645 129,063 129,063 1170,5368785 1169,8915635 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-15 9,1035 9,0985 128,912 128,912 1173,550392 1172,905832 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-16 9,0975 9,0925 128,538 128,538 1169,374455 1168,731765 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-17 9,1045 9,0995 128,278 128,278 1167,907051 1167,265661 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-18 9,1035 9,0985 128,223 128,223 1167,2780805 1166,6369655 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-21 9,1265 9,1215 127,417 127,417 1162,8712505 1162,2341655 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-22 9,1265 9,1215 127,036 127,036 1159,394054 1158,758874 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-23 9,1165 9,1115 127,04 127,04 1158,16016 1157,52496 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-24 9,1135 9,1085 127,284 127,284 1160,002734 1159,366314 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-29 9,1315 9,1265 127,176 127,176 1161,307644 1160,671764 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-30 9,1425 9,1375 126,965 126,965 1160,7775125 1160,1426875 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-03-31 9,1405 9,1355 126,786 126,786 1158,887433 1158,253503 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-01 9,1645 9,1595 126,578 126,578 1160,024081 1159,391191 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-04 9,1695 9,1645 126,266 126,266 1157,796087 1157,164757 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-05 9,1745 9,1695 126,406 126,406 1159,711847 1159,079817 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-06 9,1705 9,1655 126,773 126,773 1162,5717965 1161,9379315 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-07 9,1505 9,1455 127,15 127,15 1163,486075 1162,850325 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-08 9,1625 9,1575 127,398 127,398 1167,284175 1166,647185 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-11 9,1705 9,1655 127,221 127,221 1166,6801805 1166,0440755 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-12 9,1525 9,1475 127,348 127,348 1165,55257 1164,91583 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-13 9,1495 9,1445 127,329 127,329 1164,9966855 1164,3600405 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-14 9,1685 9,1635 126,969 126,969 1164,1152765 1163,4804315 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-15 9,1925 9,1875 126,508 126,508 1162,92479 1162,29225 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-18 9,1805 9,1755 125,974 125,974 1156,504307 1155,874437 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-19 9,2035 9,1985 126,021 126,021 1159,8342735 1159,2041685 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-20 9,1915 9,1865 126,464 126,464 1162,393856 1161,761536 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-21 9,1855 9,1805 126,834 126,834 1165,033707 1164,399537 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-22 9,1625 9,1575 126,996 126,996 1163,60085 1162,96587 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-25 9,1685 9,1635 126,998 126,998 1164,381163 1163,746173 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-26 9,1375 9,1325 126,676 126,676 1157,50195 1156,86857 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-27 9,1465 9,1415 126,449 126,449 1156,5657785 1155,9335335 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-28 9,1505 9,1455 126,491 126,491 1157,4558955 1156,8234405 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-04-29 9,1705 9,1655 126,145 126,145 1156,8127225 1156,1819975 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-02 9,1935 9,1885 126,243 126,243 1160,6150205 1159,9838055 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-03 9,2245 9,2195 126,237 126,237 1164,4732065 1163,8420215 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-04 9,1915 9,1865 125,946 125,946 1157,632659 1157,002929 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-06 9,1715 9,1665 125,678 125,678 1152,655777 1152,027387 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-09 9,1815 9,1765 125,738 125,738 1154,463447 1153,834757 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-10 9,1985 9,1935 125,225 125,225 1151,8821625 1151,2560375 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-11 9,2105 9,2055 124,783 124,783 1149,3138215 1148,6899065 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-12 9,2315 9,2265 124,769 124,769 1151,8050235 1151,1811785 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-13 9,2045 9,1995 124,492 124,492 1145,886614 1145,264154 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-16 9,2145 9,2095 123,605 123,605 1138,9582725 1138,3402475 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-17 9,2325 9,2275 122,921 122,921 1134,8681325 1134,2535275 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-18 9,2095 9,2045 123,074 123,074 1133,450003 1132,834633 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-19 9,1905 9,1855 123,885 123,885 1138,5650925 1137,9456675 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-20 9,1955 9,1905 124,077 124,077 1140,9500535 1140,3296685 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-23 9,1805 9,1755 124,626 124,626 1144,128993 1143,505863 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-24 9,1815 9,1765 124,809 124,809 1145,9338335 1145,3097885 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-25 9,1785 9,1735 125,102 125,102 1148,248707 1147,623197 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-26 9,1945 9,1895 125,497 125,497 1153,8821665 1153,2546815 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-27 9,1955 9,1905 125,684 125,684 1155,727222 1155,098802 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-30 9,1905 9,1855 125,755 125,755 1155,7513275 1155,1225525 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-05-31 9,1665 9,1615 125,823 125,823 1153,3565295 1152,7274145 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-01 9,1455 9,1405 125,847 125,847 1150,9337385 1150,3045035 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-02 9,1565 9,1515 126,25 126,25 1156,008125 1155,376875 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-03 9,1315 9,1265 126,87 126,87 1158,513405 1157,879055 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-07 9,1455 9,1405 126,92 126,92 1160,74686 1160,11226 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-08 9,1455 9,1405 127,128 127,128 1162,649124 1162,013484 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-09 9,1965 9,1915 127,019 127,019 1168,1302335 1167,4951385 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-10 9,1975 9,1925 127,128 127,128 1169,25978 1168,62414 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-13 9,2365 9,2315 127,166 127,166 1174,568759 1173,932929 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-14 9,2985 9,2935 127,225 127,225 1183,0016625 1182,3655375 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-15 9,2695 9,2645 127,439 127,439 1181,2958105 1180,6586155 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-16 9,2695 9,2645 127,512 127,512 1181,972484 1181,334924 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-17 9,2695 9,2645 127,597 127,597 1182,7603915 1182,1224065 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-20 9,2255 9,2205 127,728 127,728 1178,354664 1177,716024 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-21 9,2725 9,2675 127,849 127,849 1185,4798525 1184,8406075 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-22 9,2615 9,2565 127,929 127,929 1184,8144335 1184,1747885 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-23 9,3535 9,3485 128,016 128,016 1197,397656 1196,757576 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-27 9,3855 9,3805 127,976 127,976 1201,118748 1200,478868 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-28 9,3995 9,3945 127,99 127,99 1203,042005 1202,402055 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-29 9,4215 9,4165 128,22 128,22 1208,02473 1207,38363 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-06-30 9,4415 9,4365 128,302 128,302 1211,363333 1210,721823 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-01 9,4595 9,4545 128,384 128,384 1214,448448 1213,806528 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-04 9,4795 9,4745 128,491 128,491 1218,0304345 1217,3879795 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-05 9,4575 9,4525 128,631 128,631 1216,5276825 1215,8845275 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-06 9,4195 9,4145 128,721 128,721 1212,4874595 1211,8438545 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-07 9,3965 9,3915 128,506 128,506 1207,506629 1206,864099 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-08 9,4175 9,4125 128,587 128,587 1210,9680725 1210,3251375 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-11 9,4665 9,4615 128,839 128,839 1219,6543935 1219,0101985 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-12 9,4645 9,4595 129,125 129,125 1222,1035625 1221,4579375 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-13 9,3915 9,3865 129,195 129,195 1213,3348425 1212,6888675 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-14 9,3675 9,3625 129,417 129,417 1212,3137475 1211,6666625 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-15 9,4055 9,4005 129,505 129,505 1218,0592775 1217,4117525 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-18 9,3895 9,3845 129,657 129,657 1217,4144015 1216,7661165 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-19 9,4425 9,4375 129,634 129,634 1224,069045 1223,420875 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-20 9,4265 9,4215 129,543 129,543 1221,1370895 1220,4893745 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-21 9,4625 9,4575 129,644 129,644 1226,75635 1226,10813 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-22 9,4495 9,4445 129,673 129,673 1225,3450135 1224,6966485 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-25 9,4275 9,4225 129,714 129,714 1222,878735 1222,230165 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-26 9,4155 9,4105 129,371 129,371 1218,0926505 1217,4457955 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-27 9,4725 9,4675 129,254 129,254 1224,358515 1223,712245 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-28 9,4515 9,4465 129,233 129,233 1221,4456995 1220,7995345 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-07-29 9,3885 9,3835 129,626 129,626 1216,993701 1216,345571 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-01 9,3985 9,3935 129,689 129,689 1218,8820665 1218,2336215 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-02 9,3995 9,3945 129,727 129,727 1219,3689365 1218,7203015 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-03 9,3755 9,3705 129,789 129,789 1216,8367695 1216,1878245 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-04 9,3735 9,3685 129,914 129,914 1217,748879 1217,099309 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-05 9,3355 9,3305 129,896 129,896 1212,644108 1211,994628 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-08 9,3335 9,3285 129,831 129,831 1211,7776385 1211,1284835 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-09 9,3455 9,3405 129,781 129,781 1212,8683355 1212,2194305 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-10 9,3535 9,3485 129,874 129,874 1214,776459 1214,127089 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-11 9,3365 9,3315 129,926 129,926 1213,054099 1212,404469 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-12 9,3025 9,2975 130,014 130,014 1209,455235 1208,805165 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-15 9,3065 9,3015 130,117 130,117 1210,9338605 1210,2832755 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-16 9,2995 9,2945 130,187 130,187 1210,6740065 1210,0230715 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-17 9,3405 9,3355 130,285 130,285 1216,9270425 1216,2756175 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-18 9,3365 9,3315 130,362 130,362 1217,124813 1216,473003 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-19 9,3395 9,3345 130,477 130,477 1218,5899415 1217,9375565 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-22 9,3655 9,3605 130,671 130,671 1223,7992505 1223,1458955 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-23 9,3715 9,3665 130,825 130,825 1226,0264875 1225,3723625 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-24 9,3365 9,3315 130,79 130,79 1221,120835 1220,466885 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-25 9,3335 9,3285 130,876 130,876 1221,531146 1220,876766 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-26 9,3415 9,3365 130,923 130,923 1223,0172045 1222,3625895 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-29 9,3295 9,3245 131,006 131,006 1222,220477 1221,565447 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-30 9,3285 9,3235 130,948 130,948 1221,548418 1220,893678 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-08-31 9,3585 9,3535 130,952 130,952 1225,514292 1224,859532 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-01 9,3365 9,3315 130,917 130,917 1222,3065705 1221,6519855 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-02 9,3025 9,2975 130,852 130,852 1217,25073 1216,59647 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-05 9,2845 9,2795 130,903 130,903 1215,3689035 1214,7143885 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-06 9,3225 9,3175 131,021 131,021 1221,4432725 1220,7881675 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-07 9,3075 9,3025 131,294 131,294 1222,018905 1221,362435 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-08 9,3255 9,3205 131,33 131,33 1224,717915 1224,061265 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-09 9,3445 9,3395 131,469 131,469 1228,5120705 1227,8547255 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-12 9,3015 9,2965 131,638 131,638 1224,430857 1223,772667 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-13 9,3015 9,2965 131,657 131,657 1224,6075855 1223,9493005 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-14 9,3365 9,3315 131,68 131,68 1229,43032 1228,77192 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-15 9,3425 9,3375 131,714 131,714 1230,538045 1229,879475 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-16 9,3465 9,3415 131,652 131,652 1230,485418 1229,827158 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-19 9,3355 9,3305 131,63 131,63 1228,831865 1228,173715 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-20 9,3395 9,3345 131,626 131,626 1229,321027 1228,662897 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-21 9,3405 9,3355 131,426 131,426 1227,584553 1226,927423 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-22 9,3405 9,3355 131,216 131,216 1225,623048 1224,966968 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-23 9,3695 9,3645 131,198 131,198 1229,259661 1228,603671 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-26 9,3815 9,3765 131,319 131,319 1231,9691985 1231,3126035 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-27 9,3885 9,3835 131,47 131,47 1234,306095 1233,648745 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-28 9,3935 9,3885 131,556 131,556 1235,771286 1235,113506 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-29 9,3845 9,3795 131,651 131,651 1235,4788095 1234,8205545 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-09-30 9,3435 9,3385 131,757 131,757 1231,0715295 1230,4127445 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-03 9,3025 9,2975 131,919 131,919 1227,1764975 1226,5169025 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-04 9,3185 9,3135 131,992 131,992 1229,967452 1229,307492 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-05 9,3105 9,3055 132,089 132,089 1229,8146345 1229,1541895 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-06 9,3015 9,2965 131,812 131,812 1226,049318 1225,390258 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-07 9,3385 9,3335 131,741 131,741 1230,2633285 1229,6046235 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-10 9,3465 9,3415 131,759 131,759 1231,4854935 1230,8266985 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-11 9,3395 9,3345 131,613 131,613 1229,1996135 1228,5415485 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-12 9,3375 9,3325 131,404 131,404 1226,98485 1226,32783 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-13 9,3815 9,3765 131,053 131,053 1229,4737195 1228,8184545 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-14 9,4135 9,4085 130,989 130,989 1233,0649515 1232,4100065 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-17 9,4575 9,4525 131,265 131,265 1241,4387375 1240,7824125 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-18 9,4625 9,4575 131,653 131,653 1245,7665125 1245,1082475 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-19 9,4605 9,4555 131,508 131,508 1244,131434 1243,473894 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-20 9,4935 9,4885 131,572 131,572 1249,078782 1248,420922 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-21 9,4915 9,4865 131,568 131,568 1248,777672 1248,119832 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-24 9,5455 9,5405 131,795 131,795 1258,0491725 1257,3901975 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-25 9,5465 9,5415 131,834 131,834 1258,553281 1257,894111 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-26 9,4975 9,4925 131,7 131,7 1250,82075 1250,16225 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-27 9,5355 9,5305 131,537 131,537 1254,2710635 1253,6133785 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-28 9,5135 9,5085 131,478 131,478 1250,815953 1250,158563 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-10-31 9,5495 9,5445 131,537 131,537 1256,1125815 1255,4548965 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-01 9,5495 9,5445 131,728 131,728 1257,936536 1257,277896 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-02 9,5855 9,5805 131,712 131,712 1262,525376 1261,866816 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-03 9,6515 9,6465 131,919 131,919 1273,2162285 1272,5566335 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-04 9,5875 9,5825 131,904 131,904 1264,6296 1263,97008 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-07 9,6075 9,6025 131,876 131,876 1266,99867 1266,33929 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-08 9,5685 9,5635 132,026 132,026 1263,290781 1262,630651 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-09 9,5575 9,5525 132,029 132,029 1261,8671675 1261,2070225 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-10 9,6105 9,6055 132,022 132,022 1268,797431 1268,137321 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-11 9,6365 9,6315 132,062 132,062 1272,615463 1271,955153 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-14 9,5505 9,5455 132,044 132,044 1261,086222 1260,426002 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-15 9,5805 9,5755 131,987 131,987 1264,5014535 1263,8415185 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-16 9,6235 9,6185 131,906 131,906 1269,397391 1268,737861 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-17 9,6355 9,6305 131,822 131,822 1270,170881 1269,511771 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-18 9,6085 9,6035 131,822 131,822 1266,611687 1265,952577 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-21 9,5915 9,5865 131,854 131,854 1264,677641 1264,018371 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-22 9,5585 9,5535 131,897 131,897 1260,7374745 1260,0779895 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-23 9,5155 9,5105 131,929 131,929 1255,3703995 1254,7107545 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-24 9,5125 9,5075 131,991 131,991 1255,5643875 1254,9044325 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-25 9,4965 9,4915 132,066 132,066 1254,164769 1253,504439 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-28 9,4835 9,4785 132,218 132,218 1253,889403 1253,228313 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-29 9,4785 9,4735 132,242 132,242 1253,455797 1252,794587 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-11-30 9,5295 9,5245 132,335 132,335 1261,0863825 1260,4247075 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-01 9,5165 9,5115 132,429 132,429 1260,2605785 1259,5984335 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-02 9,4905 9,4855 132,53 132,53 1257,775965 1257,113315 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-05 9,4065 9,4015 132,563 132,563 1246,9538595 1246,2910445 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-07 9,4255 9,4205 132,52 132,52 1249,06726 1248,40466 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-08 9,3965 9,3915 132,573 132,573 1245,7221945 1245,0593295 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-12 9,4315 9,4265 132,717 132,717 1251,7203855 1251,0568005 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-13 9,4295 9,4245 132,774 132,774 1251,992433 1251,328563 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-14 9,4365 9,4315 132,788 132,788 1253,053962 1252,390022 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-15 9,4345 9,4295 132,9 132,9 1253,84505 1253,18055 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-16 9,4765 9,4715 132,966 132,966 1260,052299 1259,387469 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-19 9,4535 9,4485 133,053 133,053 1257,8165355 1257,1512705 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-20 9,4015 9,3965 132,968 132,968 1250,098652 1249,433812 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-21 9,4485 9,4435 133,013 133,013 1256,7733305 1256,1082655 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-22 9,4365 9,4315 133,039 133,039 1255,4225235 1254,7573285 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-23 9,4425 9,4375 133,091 133,091 1256,7117675 1256,0463125 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-27 9,4915 9,4865 133,185 133,185 1264,1254275 1263,4595025 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-28 9,4345 9,4295 133,209 133,209 1256,7603105 1256,0942655 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-29 9,4115 9,4065 133,209 133,209 1253,6965035 1253,0304585 549972 Evli-Fondbolag Ab Evli European High Yield EUR 2005-12-30 9,4325 9,4275 133,225 133,225 1256,6448125 1255,9786875 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-03 9,0065 9,0015 128,113 128,113 1153,8497345 1153,2091695 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-04 9,0345 9,0295 128,056 128,056 1156,921932 1156,281652 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-05 9,0615 9,0565 128,298 128,298 1162,572327 1161,930837 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-07 9,0615 9,0565 128,426 128,426 1163,732199 1163,090069 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-10 9,08619 9,08119 128,571 128,571 1168,22053449 1167,57767949 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-11 9,08619 9,08119 128,559 128,559 1168,11150021 1167,46870521 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-12 9,0455 9,0405 128,605 128,605 1163,2965275 1162,6535025 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-13 9,0505 9,0455 128,871 128,871 1166,3469855 1165,7026305 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-14 9,0455 9,0405 128,897 128,897 1165,9378135 1165,2933285 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-17 9,0685 9,0635 129,034 129,034 1170,144829 1169,499659 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-18 9,0585 9,0535 129,079 129,079 1169,2621215 1168,6167265 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-19 9,0225 9,0175 129,169 129,169 1165,4273025 1164,7814575 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-20 9,0315 9,0265 128,889 128,889 1164,0610035 1163,4165585 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-21 9,0505 9,0455 128,991 128,991 1167,4330455 1166,7880905 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-24 9,0655 9,0605 129,179 129,179 1171,0722245 1170,4263295 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-25 9,0715 9,0665 129,258 129,258 1172,563947 1171,917657 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-26 9,0885 9,0835 129,162 129,162 1173,888837 1173,243027 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-27 9,0675 9,0625 129,062 129,062 1170,269685 1169,624375 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-28 9,0955 9,0905 129,322 129,322 1176,248251 1175,601641 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-01-31 9,1075 9,1025 129,428 129,428 1178,76551 1178,11837 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-01 9,1035 9,0985 129,481 129,481 1178,7302835 1178,0828785 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-02 9,0905 9,0855 129,473 129,473 1176,9743065 1176,3269415 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-03 9,0695 9,0645 129,414 129,414 1173,720273 1173,073203 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-04 9,0895 9,0845 129,717 129,717 1179,0626715 1178,4140865 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-07 9,0755 9,0705 129,818 129,818 1178,163259 1177,514169 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-08 9,0895 9,0845 129,877 129,877 1180,5169915 1179,8676065 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-09 9,0695 9,0645 130,089 130,089 1179,8421855 1179,1917405 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-10 9,0805 9,0755 130,229 130,229 1182,5444345 1181,8932895 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-11 9,0935 9,0885 130,114 130,114 1183,191659 1182,541089 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-14 9,1105 9,1055 130,03 130,03 1184,638315 1183,988165 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-15 9,0765 9,0715 129,944 129,944 1179,436716 1178,786996 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-16 9,0705 9,0655 129,799 129,799 1177,3418295 1176,6928345 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-17 9,0925 9,0875 129,738 129,738 1179,642765 1178,994075 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-18 9,0945 9,0895 129,332 129,332 1176,209874 1175,563214 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-21 9,1185 9,1135 129,214 129,214 1178,237859 1177,591789 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-22 9,0975 9,0925 129,26 129,26 1175,94285 1175,29655 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-23 9,1045 9,0995 129,346 129,346 1177,630657 1176,983927 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-24 9,0715 9,0665 129,137 129,137 1171,4662955 1170,8206105 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-25 9,0845 9,0795 129,211 129,211 1173,8173295 1173,1712745 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-02-28 9,0505 9,0455 129,361 129,361 1170,7817305 1170,1349255 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-01 9,0565 9,0515 129,189 129,189 1170,0001785 1169,3542335 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-02 9,0645 9,0595 129,008 129,008 1169,393016 1168,747976 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-03 9,0675 9,0625 129,184 129,184 1171,37592 1170,73 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-04 9,0415 9,0365 129,551 129,551 1171,3353665 1170,6876115 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-07 9,0425 9,0375 129,726 129,726 1173,047355 1172,398725 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-08 9,0345 9,0295 129,572 129,572 1170,618234 1169,970374 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-09 9,0365 9,0315 129,248 129,248 1167,949552 1167,303312 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-10 9,0655 9,0605 129,092 129,092 1170,283526 1169,638066 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-11 9,0795 9,0745 129,226 129,226 1173,307467 1172,661337 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-14 9,0695 9,0645 129,114 129,114 1170,999423 1170,353853 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-15 9,1035 9,0985 129,339 129,339 1177,4375865 1176,7908915 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-16 9,0975 9,0925 129,228 129,228 1175,65173 1175,00559 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-17 9,1045 9,0995 129,112 129,112 1175,500204 1174,854644 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-18 9,1035 9,0985 129,007 129,007 1174,4152245 1173,7701895 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-21 9,1265 9,1215 128,709 128,709 1174,6626885 1174,0191435 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-22 9,1265 9,1215 128,706 128,706 1174,635309 1173,991779 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-23 9,1165 9,1115 128,537 128,537 1171,8075605 1171,1648755 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-24 9,1135 9,1085 128,742 128,742 1173,290217 1172,646507 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-29 9,1315 9,1265 128,611 128,611 1174,4113465 1173,7682915 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-30 9,1425 9,1375 128,744 128,744 1177,04202 1176,3983 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-03-31 9,1405 9,1355 128,985 128,985 1178,9873925 1178,3424675 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-01 9,1645 9,1595 129,102 129,102 1183,155279 1182,509769 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-04 9,1695 9,1645 129,135 129,135 1184,1033825 1183,4577075 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-05 9,1745 9,1695 129,121 129,121 1184,6206145 1183,9750095 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-06 9,1705 9,1655 129,263 129,263 1185,4063415 1184,7600265 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-07 9,1505 9,1455 129,594 129,594 1185,849897 1185,201927 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-08 9,1625 9,1575 129,47 129,47 1186,268875 1185,621525 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-11 9,1705 9,1655 129,564 129,564 1188,166662 1187,518842 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-12 9,1525 9,1475 129,595 129,595 1186,1182375 1185,4702625 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-13 9,1495 9,1445 129,652 129,652 1186,250974 1185,602714 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-14 9,1685 9,1635 129,496 129,496 1187,284076 1186,636596 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-15 9,1925 9,1875 129,513 129,513 1190,5482525 1189,9006875 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-18 9,1805 9,1755 129,612 129,612 1189,902966 1189,254906 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-19 9,2035 9,1985 129,807 129,807 1194,6787245 1194,0296895 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-20 9,1915 9,1865 129,88 129,88 1193,79202 1193,14262 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-21 9,1855 9,1805 129,95 129,95 1193,655725 1193,005975 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-22 9,1625 9,1575 129,985 129,985 1190,9875625 1190,3376375 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-25 9,1685 9,1635 130,115 130,115 1192,9593775 1192,3088025 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-26 9,1375 9,1325 130,116 130,116 1188,93495 1188,28437 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-27 9,1465 9,1415 130,253 130,253 1191,3590645 1190,7077995 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-28 9,1505 9,1455 130,312 130,312 1192,419956 1191,768396 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-04-29 9,1705 9,1655 130,316 130,316 1195,062878 1194,411298 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-02 9,1935 9,1885 130,321 130,321 1198,1061135 1197,4545085 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-03 9,2245 9,2195 130,47 130,47 1203,520515 1202,868165 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-04 9,1915 9,1865 130,331 130,331 1197,9373865 1197,2857315 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-06 9,1715 9,1665 130,038 130,038 1192,643517 1191,993327 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-09 9,1815 9,1765 130,196 130,196 1195,394574 1194,743594 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-10 9,1985 9,1935 130,465 130,465 1200,0823025 1199,4299775 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-11 9,2105 9,2055 130,529 130,529 1202,2373545 1201,5847095 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-12 9,2315 9,2265 130,452 130,452 1204,267638 1203,615378 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-13 9,2045 9,1995 130,501 130,501 1201,1964545 1200,5439495 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-16 9,2145 9,2095 130,4 130,4 1201,5708 1200,9188 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-17 9,2325 9,2275 130,306 130,306 1203,050145 1202,398615 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-18 9,2095 9,2045 130,379 130,379 1200,7254005 1200,0735055 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-19 9,1905 9,1855 130,347 130,347 1197,9541035 1197,3023685 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-20 9,1955 9,1905 130,199 130,199 1197,2449045 1196,5939095 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-23 9,1805 9,1755 130,513 130,513 1198,1745965 1197,5220315 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-24 9,1815 9,1765 130,765 130,765 1200,6188475 1199,9650225 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-25 9,1785 9,1735 130,936 130,936 1201,796076 1201,141396 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-26 9,1945 9,1895 130,872 130,872 1203,302604 1202,648244 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-27 9,1955 9,1905 130,825 130,825 1203,0012875 1202,3471625 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-30 9,1905 9,1855 130,859 130,859 1202,6596395 1202,0053445 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-05-31 9,1665 9,1615 131,222 131,222 1202,846463 1202,190353 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-06-01 9,1455 9,1405 131,515 131,515 1202,7704325 1202,1128575 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-06-02 9,1565 9,1515 131,603 131,603 1205,0228695 1204,3648545 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-06-03 9,1315 9,1265 131,608 131,608 1201,778452 1201,120412 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-06-07 9,1455 9,1405 132,03 132,03 1207,480365 1206,820215 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-06-08 9,1455 9,1405 132,242 132,242 1209,419211 1208,758001 514141 Evli-Fondbolag Ab Evli European Investment 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132,96 1241,77992 1241,11512 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-12 9,3375 9,3325 132,802 132,802 1240,038675 1239,374665 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-13 9,3815 9,3765 132,543 132,543 1243,4521545 1242,7894395 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-14 9,4135 9,4085 132,557 132,557 1247,8253195 1247,1625345 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-17 9,4575 9,4525 132,477 132,477 1252,9012275 1252,2388425 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-18 9,4625 9,4575 132,526 132,526 1254,027275 1253,364645 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-19 9,4605 9,4555 132,713 132,713 1255,5313365 1254,8677715 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-20 9,4935 9,4885 132,511 132,511 1257,9931785 1257,3306235 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-21 9,4915 9,4865 132,783 132,783 1260,3098445 1259,6459295 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-24 9,5455 9,5405 132,905 132,905 1268,6446775 1267,9801525 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-25 9,5465 9,5415 132,492 132,492 1264,834878 1264,172418 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-26 9,4975 9,4925 132,116 132,116 1254,77171 1254,11113 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-27 9,5355 9,5305 131,936 131,936 1258,075728 1257,416048 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-28 9,5135 9,5085 131,889 131,889 1254,7260015 1254,0665565 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-10-31 9,5495 9,5445 131,972 131,972 1260,266614 1259,606754 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-01 9,5495 9,5445 131,753 131,753 1258,1752735 1257,5165085 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-02 9,5855 9,5805 131,581 131,581 1261,2696755 1260,6117705 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-03 9,6515 9,6465 131,541 131,541 1269,5679615 1268,9102565 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-04 9,5875 9,5825 131,388 131,388 1259,68245 1259,02551 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-07 9,6075 9,6025 131,355 131,355 1261,9931625 1261,3363875 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-08 9,5685 9,5635 131,559 131,559 1258,8222915 1258,1644965 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-09 9,5575 9,5525 131,199 131,199 1253,9344425 1253,2784475 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-10 9,6105 9,6055 131,298 131,298 1261,839429 1261,182939 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-11 9,6365 9,6315 131,366 131,366 1265,908459 1265,251629 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-14 9,5505 9,5455 131,372 131,372 1254,668286 1254,011426 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-15 9,5805 9,5755 131,453 131,453 1259,3854665 1258,7282015 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-16 9,6235 9,6185 131,889 131,889 1269,2337915 1268,5743465 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-17 9,6355 9,6305 131,746 131,746 1269,438583 1268,779853 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-18 9,6085 9,6035 131,105 131,105 1259,7223925 1259,0668675 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-21 9,5915 9,5865 131,537 131,537 1261,6371355 1260,9794505 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-22 9,5585 9,5535 131,511 131,511 1257,0478935 1256,3903385 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-23 9,5155 9,5105 131,611 131,611 1252,3444705 1251,6864155 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-24 9,5125 9,5075 132,057 132,057 1256,1922125 1255,5319275 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-25 9,4965 9,4915 132,03 132,03 1253,822895 1253,162745 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-28 9,4835 9,4785 132,036 132,036 1252,163406 1251,503226 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-29 9,4785 9,4735 131,824 131,824 1249,493784 1248,834664 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-11-30 9,5295 9,5245 131,858 131,858 1256,540811 1255,881521 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-01 9,5165 9,5115 132,166 132,166 1257,757739 1257,096909 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-02 9,4905 9,4855 132,273 132,273 1255,3369065 1254,6755415 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-05 9,4065 9,4015 132,408 132,408 1245,495852 1244,833812 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-07 9,4255 9,4205 132,203 132,203 1246,0793765 1245,4183615 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-08 9,3965 9,3915 132,309 132,309 1243,2415185 1242,5799735 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-12 9,4315 9,4265 132,063 132,063 1245,5521845 1244,8918695 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-13 9,4295 9,4245 132,072 132,072 1245,372924 1244,712564 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-14 9,4365 9,4315 132,192 132,192 1247,429808 1246,768848 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-15 9,4345 9,4295 132,17 132,17 1246,957865 1246,297015 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-16 9,4765 9,4715 132,289 132,289 1253,6367085 1252,9752635 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-19 9,4535 9,4485 132,366 132,366 1251,321981 1250,660151 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-20 9,4015 9,3965 132,281 132,281 1243,6398215 1242,9784165 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-21 9,4485 9,4435 132,004 132,004 1247,239794 1246,579774 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-22 9,4365 9,4315 132,07 132,07 1246,278555 1245,618205 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-23 9,4425 9,4375 132,112 132,112 1247,46756 1246,807 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-27 9,4915 9,4865 132,308 132,308 1255,801382 1255,139842 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-28 9,4345 9,4295 132,501 132,501 1250,0806845 1249,4181795 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-29 9,4115 9,4065 132,359 132,359 1245,6967285 1245,0349335 514141 Evli-Fondbolag Ab Evli European Investment Grade EUR 2005-12-30 9,4325 9,4275 132,514 132,514 1249,938305 1249,275735 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-03 9,0065 9,0015 23,762 23,762 214,012453 213,893643 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-04 9,0345 9,0295 23,908 23,908 215,996826 215,877286 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-05 9,0615 9,0565 23,85 23,85 216,116775 215,997525 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-07 9,0615 9,0565 24,043 24,043 217,8656445 217,7454295 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-10 9,08619 9,08119 24,08 24,08 218,7954552 218,6750552 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-11 9,08619 9,08119 24,045 24,045 218,47743855 218,35721355 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-12 9,0455 9,0405 24,165 24,165 218,5845075 218,4636825 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-13 9,0505 9,0455 24,274 24,274 219,691837 219,570467 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-14 9,0455 9,0405 24,421 24,421 220,9001555 220,7780505 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-17 9,0685 9,0635 24,559 24,559 222,7132915 222,5904965 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-18 9,0585 9,0535 24,711 24,711 223,8445935 223,7210385 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-19 9,0225 9,0175 24,832 24,832 224,04672 223,92256 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-20 9,0315 9,0265 24,823 24,823 224,1889245 224,0648095 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-21 9,0505 9,0455 24,833 24,833 224,7510665 224,6269015 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-24 9,0655 9,0605 24,844 24,844 225,223282 225,099062 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-25 9,0715 9,0665 24,927 24,927 226,1252805 226,0006455 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-26 9,0885 9,0835 25,023 25,023 227,4215355 227,2964205 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-27 9,0675 9,0625 25,089 25,089 227,4945075 227,3690625 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-28 9,0955 9,0905 25,154 25,154 228,788207 228,662437 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-01-31 9,1075 9,1025 25,33 25,33 230,692975 230,566325 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-01 9,1035 9,0985 25,432 25,432 231,520212 231,393052 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-02 9,0905 9,0855 25,569 25,569 232,4349945 232,3071495 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-03 9,0695 9,0645 25,714 25,714 233,213123 233,084553 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-04 9,0895 9,0845 25,864 25,864 235,090828 234,961508 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-07 9,0755 9,0705 25,983 25,983 235,8087165 235,6788015 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-08 9,0895 9,0845 26,041 26,041 236,6996695 236,5694645 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-09 9,0695 9,0645 26,097 26,097 236,6867415 236,5562565 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-10 9,0805 9,0755 26,146 26,146 237,418753 237,288023 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-11 9,0935 9,0885 26,328 26,328 239,413668 239,282028 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-14 9,1105 9,1055 26,372 26,372 240,262106 240,130246 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-15 9,0765 9,0715 26,406 26,406 239,674059 239,542029 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-16 9,0705 9,0655 26,296 26,296 238,517868 238,386388 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-17 9,0925 9,0875 26,409 26,409 240,1238325 239,9917875 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-18 9,0945 9,0895 26,451 26,451 240,5586195 240,4263645 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-21 9,1185 9,1135 26,395 26,395 240,6828075 240,5508325 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-22 9,0975 9,0925 26,154 26,154 237,936015 237,805245 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-23 9,1045 9,0995 26,044 26,044 237,117598 236,987378 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-24 9,0715 9,0665 26,126 26,126 237,002009 236,871379 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-25 9,0845 9,0795 26,408 26,408 239,903476 239,771436 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-02-28 9,0505 9,0455 26,489 26,489 239,7386945 239,6062495 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-01 9,0565 9,0515 26,641 26,641 241,2742165 241,1410115 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-02 9,0645 9,0595 26,635 26,635 241,4329575 241,2997825 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-03 9,0675 9,0625 26,651 26,651 241,6579425 241,5246875 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-04 9,0415 9,0365 26,718 26,718 241,570797 241,437207 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-07 9,0425 9,0375 26,771 26,771 242,0767675 241,9429125 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-08 9,0345 9,0295 26,735 26,735 241,5373575 241,4036825 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-09 9,0365 9,0315 26,709 26,709 241,3558785 241,2223335 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-10 9,0655 9,0605 26,583 26,583 240,9881865 240,8552715 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-11 9,0795 9,0745 26,685 26,685 242,2864575 242,1530325 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-14 9,0695 9,0645 26,583 26,583 241,0945185 240,9616035 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-15 9,1035 9,0985 26,647 26,647 242,5809645 242,4477295 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-16 9,0975 9,0925 26,528 26,528 241,33848 241,20584 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-17 9,1045 9,0995 26,527 26,527 241,5150715 241,3824365 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-18 9,1035 9,0985 26,589 26,589 242,0529615 241,9200165 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-21 9,1265 9,1215 26,541 26,541 242,2264365 242,0937315 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-22 9,1265 9,1215 26,56 26,56 242,39984 242,26704 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-23 9,1165 9,1115 26,425 26,425 240,9035125 240,7713875 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-24 9,1135 9,1085 26,511 26,511 241,6079985 241,4754435 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-29 9,1315 9,1265 26,578 26,578 242,697007 242,564117 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-30 9,1425 9,1375 26,542 26,542 242,660235 242,527525 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-03-31 9,1405 9,1355 26,705 26,705 244,0970525 243,9635275 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-01 9,1645 9,1595 26,946 26,946 246,946617 246,811887 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-04 9,1695 9,1645 26,818 26,818 245,907651 245,773561 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-05 9,1745 9,1695 26,942 26,942 247,179379 247,044669 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-06 9,1705 9,1655 27,026 27,026 247,841933 247,706803 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-07 9,1505 9,1455 27,068 27,068 247,685734 247,550394 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-08 9,1625 9,1575 27,27 27,27 249,861375 249,725025 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-11 9,1705 9,1655 27,259 27,259 249,9786595 249,8423645 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-12 9,1525 9,1475 27,198 27,198 248,929695 248,793705 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-13 9,1495 9,1445 27,276 27,276 249,561762 249,425382 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-14 9,1685 9,1635 27,183 27,183 249,2273355 249,0914205 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-15 9,1925 9,1875 26,829 26,829 246,6255825 246,4914375 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-18 9,1805 9,1755 26,286 26,286 241,318623 241,187193 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-19 9,2035 9,1985 26,39 26,39 242,880365 242,748415 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-20 9,1915 9,1865 26,451 26,451 243,1243665 242,9921115 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-21 9,1855 9,1805 26,381 26,381 242,3226755 242,1907705 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-22 9,1625 9,1575 26,492 26,492 242,73295 242,60049 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-25 9,1685 9,1635 26,552 26,552 243,442012 243,309252 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-26 9,1375 9,1325 26,458 26,458 241,759975 241,627685 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-27 9,1465 9,1415 26,112 26,112 238,833408 238,702848 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-28 9,1505 9,1455 25,921 25,921 237,1901105 237,0605055 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-04-29 9,1705 9,1655 25,929 25,929 237,7818945 237,6522495 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-02 9,1935 9,1885 25,992 25,992 238,957452 238,827492 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-03 9,2245 9,2195 25,996 25,996 239,800102 239,670122 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-04 9,1915 9,1865 25,94 25,94 238,42751 238,29781 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-06 9,1715 9,1665 26,018 26,018 238,624087 238,493997 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-09 9,1815 9,1765 25,989 25,989 238,6180035 238,4880585 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-10 9,1985 9,1935 25,91 25,91 238,333135 238,203585 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-11 9,2105 9,2055 25,882 25,882 238,386161 238,256751 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-12 9,2315 9,2265 25,988 25,988 239,908222 239,778282 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-13 9,2045 9,1995 25,953 25,953 238,8843885 238,7546235 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-16 9,2145 9,2095 25,857 25,857 238,2593265 238,1300415 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-17 9,2325 9,2275 25,824 25,824 238,42008 238,29096 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-18 9,2095 9,2045 25,955 25,955 239,0325725 238,9027975 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-19 9,1905 9,1855 26,041 26,041 239,3298105 239,1996055 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-20 9,1955 9,1905 26,049 26,049 239,5335795 239,4033345 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-23 9,1805 9,1755 26,187 26,187 240,4097535 240,2788185 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-24 9,1815 9,1765 26,262 26,262 241,124553 240,993243 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-25 9,1785 9,1735 26,346 26,346 241,816761 241,685031 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-26 9,1945 9,1895 26,547 26,547 244,0863915 243,9536565 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-27 9,1955 9,1905 26,625 26,625 244,8301875 244,6970625 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-30 9,1905 9,1855 26,753 26,753 245,8734465 245,7396815 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-05-31 9,1665 9,1615 26,901 26,901 246,5880165 246,4535115 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-01 9,1455 9,1405 27,076 27,076 247,623558 247,488178 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-02 9,1565 9,1515 27,199 27,199 249,0476435 248,9116485 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-03 9,1315 9,1265 27,293 27,293 249,2260295 249,0895645 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-07 9,1455 9,1405 27,495 27,495 251,4555225 251,3180475 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-08 9,1455 9,1405 27,486 27,486 251,373213 251,235783 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-09 9,1965 9,1915 27,52 27,52 253,08768 252,95008 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-10 9,1975 9,1925 27,604 27,604 253,88779 253,74977 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-13 9,2365 9,2315 27,769 27,769 256,4883685 256,3495235 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-14 9,2985 9,2935 27,9 27,9 259,42815 259,28865 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-15 9,2695 9,2645 27,898 27,898 258,600511 258,461021 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-16 9,2695 9,2645 27,996 27,996 259,508922 259,368942 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-17 9,2695 9,2645 28,1 28,1 260,47295 260,33245 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-20 9,2255 9,2205 28,132 28,132 259,531766 259,391106 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-21 9,2725 9,2675 28,111 28,111 260,6592475 260,5186925 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-22 9,2615 9,2565 28,166 28,166 260,859409 260,718579 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-23 9,3535 9,3485 28,271 28,271 264,4327985 264,2914435 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-27 9,3855 9,3805 27,917 27,917 262,0150035 261,8754185 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-28 9,3995 9,3945 28,06 28,06 263,74997 263,60967 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-29 9,4215 9,4165 28,061 28,061 264,3767115 264,2364065 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-06-30 9,4415 9,4365 28,091 28,091 265,2211765 265,0807215 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-01 9,4595 9,4545 28,322 28,322 267,911959 267,770349 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-04 9,4795 9,4745 28,35 28,35 268,743825 268,602075 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-05 9,4575 9,4525 28,329 28,329 267,9215175 267,7798725 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-06 9,4195 9,4145 28,522 28,522 268,662979 268,520369 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-07 9,3965 9,3915 28,074 28,074 263,797341 263,656971 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-08 9,4175 9,4125 28,413 28,413 267,5794275 267,4373625 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-11 9,4665 9,4615 28,632 28,632 271,044828 270,901668 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-12 9,4645 9,4595 28,675 28,675 271,3945375 271,2511625 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-13 9,3915 9,3865 28,714 28,714 269,667531 269,523961 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-14 9,3675 9,3625 28,707 28,707 268,9128225 268,7692875 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-15 9,4055 9,4005 28,711 28,711 270,0413105 269,8977555 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-18 9,3895 9,3845 28,653 28,653 269,0373435 268,8940785 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-19 9,4425 9,4375 28,68 28,68 270,8109 270,6675 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-20 9,4265 9,4215 28,659 28,659 270,1540635 270,0107685 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-21 9,4625 9,4575 28,707 28,707 271,6399875 271,4964525 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-22 9,4495 9,4445 28,76 28,76 271,76762 271,62382 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-25 9,4275 9,4225 28,822 28,822 271,719405 271,575295 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-26 9,4155 9,4105 28,844 28,844 271,580682 271,436462 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-27 9,4725 9,4675 29,193 29,193 276,5306925 276,3847275 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-28 9,4515 9,4465 29,231 29,231 276,2767965 276,1306415 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-07-29 9,3885 9,3835 29,342 29,342 275,477367 275,330657 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-01 9,3985 9,3935 29,362 29,362 275,958757 275,811947 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-02 9,3995 9,3945 29,518 29,518 277,454441 277,306851 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-03 9,3755 9,3705 29,686 29,686 278,321093 278,172663 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-04 9,3735 9,3685 29,603 29,603 277,4837205 277,3357055 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-05 9,3355 9,3305 29,572 29,572 276,069406 275,921546 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-08 9,3335 9,3285 29,713 29,713 277,3262855 277,1777205 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-09 9,3455 9,3405 29,879 29,879 279,2341945 279,0847995 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-10 9,3535 9,3485 29,953 29,953 280,1653855 280,0156205 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-11 9,3365 9,3315 29,865 29,865 278,8345725 278,6852475 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-12 9,3025 9,2975 29,953 29,953 278,6377825 278,4880175 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-15 9,3065 9,3015 30,034 30,034 279,511421 279,361251 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-16 9,2995 9,2945 30,048 30,048 279,431376 279,281136 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-17 9,3405 9,3355 29,929 29,929 279,5518245 279,4021795 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-18 9,3365 9,3315 29,885 29,885 279,0213025 278,8718775 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-19 9,3395 9,3345 30,049 30,049 280,6426355 280,4923905 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-22 9,3655 9,3605 30,195 30,195 282,7912725 282,6402975 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-23 9,3715 9,3665 30,21 30,21 283,113015 282,961965 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-24 9,3365 9,3315 30,111 30,111 281,1313515 280,9807965 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-25 9,3335 9,3285 30,039 30,039 280,3690065 280,2188115 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-26 9,3415 9,3365 30,104 30,104 281,216516 281,065996 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-29 9,3295 9,3245 30,034 30,034 280,202203 280,052033 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-30 9,3285 9,3235 30,186 30,186 281,590101 281,439171 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-08-31 9,3585 9,3535 30,384 30,384 284,348664 284,196744 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-01 9,3365 9,3315 30,666 30,666 286,313109 286,159779 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-02 9,3025 9,2975 30,67 30,67 285,307675 285,154325 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-05 9,2845 9,2795 30,677 30,677 284,8206065 284,6672215 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-06 9,3225 9,3175 30,706 30,706 286,256685 286,103155 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-07 9,3075 9,3025 30,848 30,848 287,11776 286,96352 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-08 9,3255 9,3205 30,775 30,775 286,9922625 286,8383875 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-09 9,3445 9,3395 31,069 31,069 290,3242705 290,1689255 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-12 9,3015 9,2965 31,239 31,239 290,5695585 290,4133635 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-13 9,3015 9,2965 31,05 31,05 288,811575 288,656325 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-14 9,3365 9,3315 31,044 31,044 289,842306 289,687086 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-15 9,3425 9,3375 31,067 31,067 290,2434475 290,0881125 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-16 9,3465 9,3415 31,176 31,176 291,386484 291,230604 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-19 9,3355 9,3305 31,322 31,322 292,406531 292,249921 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-20 9,3395 9,3345 31,431 31,431 293,5498245 293,3926695 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-21 9,3405 9,3355 31,345 31,345 292,7779725 292,6212475 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-22 9,3405 9,3355 31,168 31,168 291,124704 290,968864 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-23 9,3695 9,3645 31,226 31,226 292,572007 292,415877 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-26 9,3815 9,3765 31,303 31,303 293,6690945 293,5125795 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-27 9,3885 9,3835 31,322 31,322 294,066597 293,909987 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-28 9,3935 9,3885 31,499 31,499 295,8858565 295,7283615 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-29 9,3845 9,3795 31,545 31,545 296,0340525 295,8763275 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-09-30 9,3435 9,3385 31,809 31,809 297,2073915 297,0483465 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-03 9,3025 9,2975 31,963 31,963 297,3358075 297,1759925 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-04 9,3185 9,3135 32,016 32,016 298,341096 298,181016 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-05 9,3105 9,3055 31,765 31,765 295,7480325 295,5892075 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-06 9,3015 9,2965 31,22 31,22 290,39283 290,23673 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-07 9,3385 9,3335 31,252 31,252 291,846802 291,690542 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-10 9,3465 9,3415 31,101 31,101 290,6854965 290,5299915 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-11 9,3395 9,3345 31,298 31,298 292,307671 292,151181 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-12 9,3375 9,3325 31,212 31,212 291,44205 291,28599 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-13 9,3815 9,3765 30,617 30,617 287,2333855 287,0803005 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-14 9,4135 9,4085 30,54 30,54 287,48829 287,33559 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-17 9,4575 9,4525 30,564 30,564 289,05903 288,90621 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-18 9,4625 9,4575 30,537 30,537 288,9563625 288,8036775 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-19 9,4605 9,4555 29,781 29,781 281,7431505 281,5942455 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-20 9,4935 9,4885 30,148 30,148 286,210038 286,059298 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-21 9,4915 9,4865 29,8 29,8 282,8467 282,6977 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-24 9,5455 9,5405 30,118 30,118 287,491369 287,340779 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-25 9,5465 9,5415 30,18 30,18 288,11337 287,96247 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-26 9,4975 9,4925 30,343 30,343 288,1826425 288,0309275 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-27 9,5355 9,5305 29,937 29,937 285,4642635 285,3145785 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-28 9,5135 9,5085 29,819 29,819 283,6830565 283,5339615 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-10-31 9,5495 9,5445 30,418 30,418 290,476691 290,324601 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-01 9,5495 9,5445 30,442 30,442 290,705879 290,553669 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-02 9,5855 9,5805 30,654 30,654 293,833917 293,680647 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-03 9,6515 9,6465 30,977 30,977 298,9745155 298,8196305 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-04 9,5875 9,5825 31,017 31,017 297,3754875 297,2204025 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-07 9,6075 9,6025 31,048 31,048 298,29366 298,13842 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-08 9,5685 9,5635 31,103 31,103 297,6090555 297,4535405 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-09 9,5575 9,5525 31,074 31,074 296,989755 296,834385 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-10 9,6105 9,6055 31,136 31,136 299,232528 299,076848 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-11 9,6365 9,6315 31,367 31,367 302,2680955 302,1112605 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-14 9,5505 9,5455 31,419 31,419 300,0671595 299,9100645 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-15 9,5805 9,5755 31,308 31,308 299,946294 299,789754 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-16 9,6235 9,6185 31,105 31,105 299,3389675 299,1834425 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-17 9,6355 9,6305 31,266 31,266 301,263543 301,107213 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-18 9,6085 9,6035 31,318 31,318 300,919003 300,762413 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-21 9,5915 9,5865 31,304 31,304 300,252316 300,095796 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-22 9,5585 9,5535 31,343 31,343 299,5920655 299,4353505 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-23 9,5155 9,5105 31,504 31,504 299,776312 299,618792 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-24 9,5125 9,5075 31,605 31,605 300,6425625 300,4845375 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-25 9,4965 9,4915 31,767 31,767 301,6753155 301,5164805 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-28 9,4835 9,4785 31,657 31,657 300,2191595 300,0608745 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-29 9,4785 9,4735 31,645 31,645 299,9471325 299,7889075 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-11-30 9,5295 9,5245 31,636 31,636 301,475262 301,317082 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-01 9,5165 9,5115 31,848 31,848 303,081492 302,922252 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-02 9,4905 9,4855 32,115 32,115 304,7874075 304,6268325 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-05 9,4065 9,4015 32,064 32,064 301,610016 301,449696 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-07 9,4255 9,4205 32,325 32,325 304,6792875 304,5176625 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-08 9,3965 9,3915 32,169 32,169 302,2760085 302,1151635 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-12 9,4315 9,4265 32,411 32,411 305,6843465 305,5222915 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-13 9,4295 9,4245 32,449 32,449 305,9778455 305,8156005 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-14 9,4365 9,4315 32,411 32,411 305,8464015 305,6843465 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-15 9,4345 9,4295 32,428 32,428 305,941966 305,779826 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-16 9,4765 9,4715 32,495 32,495 307,9388675 307,7763925 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-19 9,4535 9,4485 32,478 32,478 307,030773 306,868383 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-20 9,4015 9,3965 32,656 32,656 307,015384 306,852104 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-21 9,4485 9,4435 32,751 32,751 309,4478235 309,2840685 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-22 9,4365 9,4315 32,82 32,82 309,70593 309,54183 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-23 9,4425 9,4375 32,889 32,889 310,5543825 310,3899375 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-27 9,4915 9,4865 32,945 32,945 312,6974675 312,5327425 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-28 9,4345 9,4295 32,852 32,852 309,942194 309,777934 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-29 9,4115 9,4065 33,057 33,057 311,1159555 310,9506705 800789 Evli-Fondbolag Ab Evli European Smaller Companies EUR 2005-12-30 9,4325 9,4275 33,119 33,119 312,3949675 312,2293725 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-03 9,0065 9,0015 3,851 3,851 34,6840315 34,6647765 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-04 9,0345 9,0295 3,846 3,846 34,746687 34,727457 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-05 9,0615 9,0565 3,834 3,834 34,741791 34,722621 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-07 9,0615 9,0565 3,846 3,846 34,850529 34,831299 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-10 9,08619 9,08119 3,86 3,86 35,0726934 35,0533934 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-11 9,08619 9,08119 3,851 3,851 34,99091769 34,97166269 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-12 9,0455 9,0405 3,838 3,838 34,716629 34,697439 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-13 9,0505 9,0455 3,838 3,838 34,735819 34,716629 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-14 9,0455 9,0405 3,846 3,846 34,788993 34,769763 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-17 9,0685 9,0635 3,858 3,858 34,986273 34,966983 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-18 9,0585 9,0535 3,859 3,859 34,9567515 34,9374565 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-19 9,0225 9,0175 3,865 3,865 34,8719625 34,8526375 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-20 9,0315 9,0265 3,836 3,836 34,644834 34,625654 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-21 9,0505 9,0455 3,845 3,845 34,7991725 34,7799475 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-24 9,0655 9,0605 3,847 3,847 34,8749785 34,8557435 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-25 9,0715 9,0665 3,852 3,852 34,943418 34,924158 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-26 9,0885 9,0835 3,855 3,855 35,0361675 35,0168925 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-27 9,0675 9,0625 3,873 3,873 35,1184275 35,0990625 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-28 9,0955 9,0905 3,869 3,869 35,1904895 35,1711445 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-01-31 9,1075 9,1025 3,869 3,869 35,2369175 35,2175725 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-01 9,1035 9,0985 3,885 3,885 35,3670975 35,3476725 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-02 9,0905 9,0855 3,914 3,914 35,580217 35,560647 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-03 9,0695 9,0645 3,933 3,933 35,6703435 35,6506785 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-04 9,0895 9,0845 3,939 3,939 35,8035405 35,7838455 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-07 9,0755 9,0705 3,962 3,962 35,957131 35,937321 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-08 9,0895 9,0845 3,98 3,98 36,17621 36,15631 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-09 9,0695 9,0645 3,991 3,991 36,1963745 36,1764195 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-10 9,0805 9,0755 3,977 3,977 36,1131485 36,0932635 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-11 9,0935 9,0885 3,985 3,985 36,2375975 36,2176725 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-14 9,1105 9,1055 3,973 3,973 36,1960165 36,1761515 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-15 9,0765 9,0715 3,987 3,987 36,1880055 36,1680705 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-16 9,0705 9,0655 3,995 3,995 36,2366475 36,2166725 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-17 9,0925 9,0875 4,005 4,005 36,4154625 36,3954375 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-18 9,0945 9,0895 4,014 4,014 36,505323 36,485253 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-21 9,1185 9,1135 4,006 4,006 36,528711 36,508681 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-22 9,0975 9,0925 3,99 3,99 36,299025 36,279075 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-23 9,1045 9,0995 3,992 3,992 36,345164 36,325204 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-24 9,0715 9,0665 4,002 4,002 36,304143 36,284133 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-25 9,0845 9,0795 4,013 4,013 36,4560985 36,4360335 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-02-28 9,0505 9,0455 4,02 4,02 36,38301 36,36291 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-01 9,0565 9,0515 4,013 4,013 36,3437345 36,3236695 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-02 9,0645 9,0595 4,013 4,013 36,3758385 36,3557735 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-03 9,0675 9,0625 4,018 4,018 36,433215 36,413125 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-04 9,0415 9,0365 4,028 4,028 36,419162 36,399022 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-07 9,0425 9,0375 4,051 4,051 36,6311675 36,6109125 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-08 9,0345 9,0295 4,04 4,04 36,49938 36,47918 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-09 9,0365 9,0315 4,048 4,048 36,579752 36,559512 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-10 9,0655 9,0605 4,031 4,031 36,5430305 36,5228755 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-11 9,0795 9,0745 4,035 4,035 36,6357825 36,6156075 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-14 9,0695 9,0645 4,039 4,039 36,6317105 36,6115155 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-15 9,1035 9,0985 4,044 4,044 36,814554 36,794334 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-16 9,0975 9,0925 4,037 4,037 36,7266075 36,7064225 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-17 9,1045 9,0995 4,018 4,018 36,581881 36,561791 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-18 9,1035 9,0985 4,012 4,012 36,523242 36,503182 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-21 9,1265 9,1215 4,005 4,005 36,5516325 36,5316075 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-22 9,1265 9,1215 4,007 4,007 36,5698855 36,5498505 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-23 9,1165 9,1115 3,988 3,988 36,356602 36,336662 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-24 9,1135 9,1085 3,992 3,992 36,381092 36,361132 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-29 9,1315 9,1265 4,003 4,003 36,5533945 36,5333795 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-30 9,1425 9,1375 4,003 4,003 36,5974275 36,5774125 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-03-31 9,1405 9,1355 4,017 4,017 36,7173885 36,6973035 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-01 9,1645 9,1595 4,019 4,019 36,8321255 36,8120305 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-04 9,1695 9,1645 4,01 4,01 36,769695 36,749645 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-05 9,1745 9,1695 4,026 4,026 36,936537 36,916407 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-06 9,1705 9,1655 4,035 4,035 37,0029675 36,9827925 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-07 9,1505 9,1455 4,054 4,054 37,096127 37,075857 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-08 9,1625 9,1575 4,071 4,071 37,3005375 37,2801825 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-11 9,1705 9,1655 4,062 4,062 37,250571 37,230261 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-12 9,1525 9,1475 4,074 4,074 37,287285 37,266915 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-13 9,1495 9,1445 4,077 4,077 37,3025115 37,2821265 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-14 9,1685 9,1635 4,076 4,076 37,370806 37,350426 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-15 9,1925 9,1875 4,046 4,046 37,192855 37,172625 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-18 9,1805 9,1755 4,031 4,031 37,0065955 36,9864405 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-19 9,2035 9,1985 4,044 4,044 37,218954 37,198734 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-20 9,1915 9,1865 4,059 4,059 37,3082985 37,2880035 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-21 9,1855 9,1805 4,052 4,052 37,219646 37,199386 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-22 9,1625 9,1575 4,055 4,055 37,1539375 37,1336625 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-25 9,1685 9,1635 4,063 4,063 37,2516155 37,2313005 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-26 9,1375 9,1325 4,058 4,058 37,079975 37,059685 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-27 9,1465 9,1415 4,032 4,032 36,878688 36,858528 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-28 9,1505 9,1455 4,025 4,025 36,8307625 36,8106375 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-04-29 9,1705 9,1655 4,015 4,015 36,8195575 36,7994825 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-02 9,1935 9,1885 4,025 4,025 37,0038375 36,9837125 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-03 9,2245 9,2195 4,025 4,025 37,1286125 37,1084875 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-04 9,1915 9,1865 4,023 4,023 36,9774045 36,9572895 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-06 9,1715 9,1665 4,028 4,028 36,942802 36,922662 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-09 9,1815 9,1765 4,036 4,036 37,056534 37,036354 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-10 9,1985 9,1935 4,035 4,035 37,1159475 37,0957725 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-11 9,2105 9,2055 4,034 4,034 37,155157 37,134987 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-12 9,2315 9,2265 4,045 4,045 37,3414175 37,3211925 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-13 9,2045 9,1995 4,05 4,05 37,278225 37,257975 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-16 9,2145 9,2095 4,058 4,058 37,392441 37,372151 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-17 9,2325 9,2275 4,056 4,056 37,44702 37,42674 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-18 9,2095 9,2045 4,076 4,076 37,537922 37,517542 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-19 9,1905 9,1855 4,079 4,079 37,4880495 37,4676545 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-20 9,1955 9,1905 4,081 4,081 37,5268355 37,5064305 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-23 9,1805 9,1755 4,091 4,091 37,5574255 37,5369705 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-24 9,1815 9,1765 4,094 4,094 37,589061 37,568591 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-25 9,1785 9,1735 4,1 4,1 37,63185 37,61135 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-26 9,1945 9,1895 4,095 4,095 37,6514775 37,6310025 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-27 9,1955 9,1905 4,103 4,103 37,7291365 37,7086215 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-30 9,1905 9,1855 4,108 4,108 37,754574 37,734034 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-05-31 9,1665 9,1615 4,116 4,116 37,729314 37,708734 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-01 9,1455 9,1405 4,126 4,126 37,734333 37,713703 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-02 9,1565 9,1515 4,139 4,139 37,8987535 37,8780585 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-03 9,1315 9,1265 4,134 4,134 37,749621 37,728951 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-07 9,1455 9,1405 4,142 4,142 37,880661 37,859951 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-08 9,1455 9,1405 4,159 4,159 38,0361345 38,0153395 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-09 9,1965 9,1915 4,157 4,157 38,2298505 38,2090655 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-10 9,1975 9,1925 4,174 4,174 38,390365 38,369495 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-13 9,2365 9,2315 4,18 4,18 38,60857 38,58767 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-14 9,2985 9,2935 4,18 4,18 38,86773 38,84683 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-15 9,2695 9,2645 4,18 4,18 38,74651 38,72561 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-16 9,2695 9,2645 4,182 4,182 38,765049 38,744139 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-17 9,2695 9,2645 4,195 4,195 38,8855525 38,8645775 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-20 9,2255 9,2205 4,195 4,195 38,7009725 38,6799975 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-21 9,2725 9,2675 4,204 4,204 38,98159 38,96057 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-22 9,2615 9,2565 4,219 4,219 39,0742685 39,0531735 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-23 9,3535 9,3485 4,226 4,226 39,527891 39,506761 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-27 9,3855 9,3805 4,2 4,2 39,4191 39,3981 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-28 9,3995 9,3945 4,205 4,205 39,5248975 39,5038725 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-29 9,4215 9,4165 4,211 4,211 39,6739365 39,6528815 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-06-30 9,4415 9,4365 4,216 4,216 39,805364 39,784284 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-01 9,4595 9,4545 4,216 4,216 39,881252 39,860172 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-04 9,4795 9,4745 4,225 4,225 40,0508875 40,0297625 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-05 9,4575 9,4525 4,227 4,227 39,9768525 39,9557175 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-06 9,4195 9,4145 4,234 4,234 39,882163 39,860993 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-07 9,3965 9,3915 4,22 4,22 39,65323 39,63213 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-08 9,4175 9,4125 4,246 4,246 39,986705 39,965475 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-11 9,4665 9,4615 4,256 4,256 40,289424 40,268144 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-12 9,4645 9,4595 4,248 4,248 40,205196 40,183956 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-13 9,3915 9,3865 4,249 4,249 39,9044835 39,8832385 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-14 9,3675 9,3625 4,246 4,246 39,774405 39,753175 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-15 9,4055 9,4005 4,243 4,243 39,9075365 39,8863215 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-18 9,3895 9,3845 4,252 4,252 39,924154 39,902894 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-19 9,4425 9,4375 4,245 4,245 40,0834125 40,0621875 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-20 9,4265 9,4215 4,261 4,261 40,1663165 40,1450115 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-21 9,4625 9,4575 4,243 4,243 40,1493875 40,1281725 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-22 9,4495 9,4445 4,246 4,246 40,122577 40,101347 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-25 9,4275 9,4225 4,253 4,253 40,0951575 40,0738925 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-26 9,4155 9,4105 4,246 4,246 39,978213 39,956983 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-27 9,4725 9,4675 4,261 4,261 40,3623225 40,3410175 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-28 9,4515 9,4465 4,285 4,285 40,4996775 40,4782525 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-07-29 9,3885 9,3835 4,288 4,288 40,257888 40,236448 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-01 9,3985 9,3935 4,28 4,28 40,22558 40,20418 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-02 9,3995 9,3945 4,286 4,286 40,286257 40,264827 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-03 9,3755 9,3705 4,291 4,291 40,2302705 40,2088155 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-04 9,3735 9,3685 4,296 4,296 40,268556 40,247076 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-05 9,3355 9,3305 4,285 4,285 40,0026175 39,9811925 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-08 9,3335 9,3285 4,297 4,297 40,1060495 40,0845645 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-09 9,3455 9,3405 4,305 4,305 40,2323775 40,2108525 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-10 9,3535 9,3485 4,302 4,302 40,238757 40,217247 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-11 9,3365 9,3315 4,3 4,3 40,14695 40,12545 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-12 9,3025 9,2975 4,298 4,298 39,982145 39,960655 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-15 9,3065 9,3015 4,305 4,305 40,0644825 40,0429575 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-16 9,2995 9,2945 4,293 4,293 39,9227535 39,9012885 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-17 9,3405 9,3355 4,287 4,287 40,0427235 40,0212885 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-18 9,3365 9,3315 4,289 4,289 40,0442485 40,0228035 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-19 9,3395 9,3345 4,296 4,296 40,122492 40,101012 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-22 9,3655 9,3605 4,305 4,305 40,3184775 40,2969525 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-23 9,3715 9,3665 4,314 4,314 40,428651 40,407081 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-24 9,3365 9,3315 4,303 4,303 40,1749595 40,1534445 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-25 9,3335 9,3285 4,291 4,291 40,0500485 40,0285935 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-26 9,3415 9,3365 4,289 4,289 40,0656935 40,0442485 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-29 9,3295 9,3245 4,277 4,277 39,9022715 39,8808865 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-30 9,3285 9,3235 4,297 4,297 40,0845645 40,0630795 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-08-31 9,3585 9,3535 4,316 4,316 40,391286 40,369706 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-01 9,3365 9,3315 4,338 4,338 40,501737 40,480047 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-02 9,3025 9,2975 4,35 4,35 40,465875 40,444125 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-05 9,2845 9,2795 4,351 4,351 40,3968595 40,3751045 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-06 9,3225 9,3175 4,352 4,352 40,57152 40,54976 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-07 9,3075 9,3025 4,37 4,37 40,673775 40,651925 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-08 9,3255 9,3205 4,375 4,375 40,7990625 40,7771875 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-09 9,3445 9,3395 4,374 4,374 40,872843 40,850973 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-12 9,3015 9,2965 4,39 4,39 40,833585 40,811635 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-13 9,3015 9,2965 4,401 4,401 40,9359015 40,9138965 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-14 9,3365 9,3315 4,399 4,399 41,0712635 41,0492685 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-15 9,3425 9,3375 4,401 4,401 41,1163425 41,0943375 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-16 9,3465 9,3415 4,399 4,399 41,1152535 41,0932585 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-19 9,3355 9,3305 4,41 4,41 41,169555 41,147505 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-20 9,3395 9,3345 4,42 4,42 41,28059 41,25849 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-21 9,3405 9,3355 4,422 4,422 41,303691 41,281581 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-22 9,3405 9,3355 4,424 4,424 41,322372 41,300252 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-23 9,3695 9,3645 4,427 4,427 41,4787765 41,4566415 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-26 9,3815 9,3765 4,426 4,426 41,522519 41,500389 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-27 9,3885 9,3835 4,422 4,422 41,515947 41,493837 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-28 9,3935 9,3885 4,407 4,407 41,3971545 41,3751195 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-29 9,3845 9,3795 4,414 4,414 41,423183 41,401113 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-09-30 9,3435 9,3385 4,421 4,421 41,3076135 41,2855085 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-03 9,3025 9,2975 4,439 4,439 41,2937975 41,2716025 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-04 9,3185 9,3135 4,438 4,438 41,355503 41,333313 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-05 9,3105 9,3055 4,428 4,428 41,226894 41,204754 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-06 9,3015 9,2965 4,387 4,387 40,8056805 40,7837455 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-07 9,3385 9,3335 4,401 4,401 41,0987385 41,0767335 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-10 9,3465 9,3415 4,419 4,419 41,3021835 41,2800885 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-11 9,3395 9,3345 4,398 4,398 41,075121 41,053131 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-12 9,3375 9,3325 4,39 4,39 40,991625 40,969675 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-13 9,3815 9,3765 4,347 4,347 40,7813805 40,7596455 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-14 9,4135 9,4085 4,307 4,307 40,5439445 40,5224095 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-17 9,4575 9,4525 4,323 4,323 40,8847725 40,8631575 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-18 9,4625 9,4575 4,336 4,336 41,0294 41,00772 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-19 9,4605 9,4555 4,282 4,282 40,509861 40,488451 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-20 9,4935 9,4885 4,285 4,285 40,6796475 40,6582225 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-21 9,4915 9,4865 4,237 4,237 40,2154855 40,1943005 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-24 9,5455 9,5405 4,263 4,263 40,6924665 40,6711515 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-25 9,5465 9,5415 4,278 4,278 40,839927 40,818537 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-26 9,4975 9,4925 4,268 4,268 40,53533 40,51399 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-27 9,5355 9,5305 4,268 4,268 40,697514 40,676174 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-28 9,5135 9,5085 4,244 4,244 40,375294 40,354074 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-10-31 9,5495 9,5445 4,276 4,276 40,833662 40,812282 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-01 9,5495 9,5445 4,299 4,299 41,0533005 41,0318055 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-02 9,5855 9,5805 4,302 4,302 41,236821 41,215311 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-03 9,6515 9,6465 4,295 4,295 41,4531925 41,4317175 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-04 9,5875 9,5825 4,319 4,319 41,4084125 41,3868175 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-07 9,6075 9,6025 4,31 4,31 41,408325 41,386775 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-08 9,5685 9,5635 4,319 4,319 41,3263515 41,3047565 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-09 9,5575 9,5525 4,324 4,324 41,32663 41,30501 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-10 9,6105 9,6055 4,327 4,327 41,5846335 41,5629985 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-11 9,6365 9,6315 4,329 4,329 41,7164085 41,6947635 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-14 9,5505 9,5455 4,342 4,342 41,468271 41,446561 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-15 9,5805 9,5755 4,311 4,311 41,3015355 41,2799805 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-16 9,6235 9,6185 4,303 4,303 41,4099205 41,3884055 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-17 9,6355 9,6305 4,286 4,286 41,297753 41,276323 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-18 9,6085 9,6035 4,294 4,294 41,258899 41,237429 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-21 9,5915 9,5865 4,298 4,298 41,224267 41,202777 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-22 9,5585 9,5535 4,302 4,302 41,120667 41,099157 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-23 9,5155 9,5105 4,316 4,316 41,068898 41,047318 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-24 9,5125 9,5075 4,326 4,326 41,151075 41,129445 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-25 9,4965 9,4915 4,34 4,34 41,21481 41,19311 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-28 9,4835 9,4785 4,337 4,337 41,1299395 41,1082545 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-29 9,4785 9,4735 4,325 4,325 40,9945125 40,9728875 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-11-30 9,5295 9,5245 4,321 4,321 41,1769695 41,1553645 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-01 9,5165 9,5115 4,329 4,329 41,1969285 41,1752835 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-02 9,4905 9,4855 4,361 4,361 41,3880705 41,3662655 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-05 9,4065 9,4015 4,371 4,371 41,1158115 41,0939565 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-07 9,4255 9,4205 4,389 4,389 41,3685195 41,3465745 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-08 9,3965 9,3915 4,394 4,394 41,288221 41,266251 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-12 9,4315 9,4265 4,397 4,397 41,4703055 41,4483205 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-13 9,4295 9,4245 4,385 4,385 41,3483575 41,3264325 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-14 9,4365 9,4315 4,402 4,402 41,539473 41,517463 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-15 9,4345 9,4295 4,404 4,404 41,549538 41,527518 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-16 9,4765 9,4715 4,411 4,411 41,8008415 41,7787865 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-19 9,4535 9,4485 4,413 4,413 41,7182955 41,6962305 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-20 9,4015 9,3965 4,409 4,409 41,4512135 41,4291685 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-21 9,4485 9,4435 4,413 4,413 41,6962305 41,6741655 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-22 9,4365 9,4315 4,405 4,405 41,5677825 41,5457575 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-23 9,4425 9,4375 4,422 4,422 41,754735 41,732625 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-27 9,4915 9,4865 4,428 4,428 42,028362 42,006222 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-28 9,4345 9,4295 4,426 4,426 41,757097 41,734967 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-29 9,4115 9,4065 4,428 4,428 41,674122 41,651982 657460 Evli-Fondbolag Ab Evli Finland Mix EUR 2005-12-30 9,4325 9,4275 4,427 4,427 41,7576775 41,7355425 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-03 9,0065 9,0015 8,324 8,324 74,970106 74,928486 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-04 9,0345 9,0295 8,363 8,363 75,5555235 75,5137085 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-05 9,0615 9,0565 8,285 8,285 75,0745275 75,0331025 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-07 9,0615 9,0565 8,408 8,408 76,189092 76,147052 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-10 9,08619 9,08119 8,416 8,416 76,46937504 76,42729504 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-11 9,08619 9,08119 8,373 8,373 76,07866887 76,03680387 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-12 9,0455 9,0405 8,312 8,312 75,186196 75,144636 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-13 9,0505 9,0455 8,334 8,334 75,426867 75,385197 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-14 9,0455 9,0405 8,411 8,411 76,0817005 76,0396455 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-17 9,0685 9,0635 8,458 8,458 76,701373 76,659083 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-18 9,0585 9,0535 8,487 8,487 76,8794895 76,8370545 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-19 9,0225 9,0175 8,459 8,459 76,3213275 76,2790325 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-20 9,0315 9,0265 8,435 8,435 76,1807025 76,1385275 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-21 9,0505 9,0455 8,41 8,41 76,114705 76,072655 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-24 9,0655 9,0605 8,389 8,389 76,0504795 76,0085345 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-25 9,0715 9,0665 8,444 8,444 76,599746 76,557526 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-26 9,0885 9,0835 8,445 8,445 76,7523825 76,7101575 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-27 9,0675 9,0625 8,462 8,462 76,729185 76,686875 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-28 9,0955 9,0905 8,46 8,46 76,94793 76,90563 729129 Evli-Fondbolag Ab Evli Global EUR 2005-01-31 9,1075 9,1025 8,493 8,493 77,3499975 77,3075325 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-01 9,1035 9,0985 8,559 8,559 77,9168565 77,8740615 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-02 9,0905 9,0855 8,574 8,574 77,941947 77,899077 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-03 9,0695 9,0645 8,592 8,592 77,925144 77,882184 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-04 9,0895 9,0845 8,678 8,678 78,878681 78,835291 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-07 9,0755 9,0705 8,736 8,736 79,283568 79,239888 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-08 9,0895 9,0845 8,743 8,743 79,4694985 79,4257835 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-09 9,0695 9,0645 8,69 8,69 78,813955 78,770505 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-10 9,0805 9,0755 8,668 8,668 78,709774 78,666434 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-11 9,0935 9,0885 8,732 8,732 79,404442 79,360782 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-14 9,1105 9,1055 8,73 8,73 79,534665 79,491015 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-15 9,0765 9,0715 8,753 8,753 79,4466045 79,4028395 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-16 9,0705 9,0655 8,728 8,728 79,167324 79,123684 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-17 9,0925 9,0875 8,673 8,673 78,8592525 78,8158875 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-18 9,0945 9,0895 8,686 8,686 78,994827 78,951397 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-21 9,1185 9,1135 8,676 8,676 79,112106 79,068726 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-22 9,0975 9,0925 8,563 8,563 77,9018925 77,8590775 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-23 9,1045 9,0995 8,579 8,579 78,1075055 78,0646105 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-24 9,0715 9,0665 8,605 8,605 78,0602575 78,0172325 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-25 9,0845 9,0795 8,684 8,684 78,889798 78,846378 729129 Evli-Fondbolag Ab Evli Global EUR 2005-02-28 9,0505 9,0455 8,65 8,65 78,286825 78,243575 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-01 9,0565 9,0515 8,601 8,601 77,8949565 77,8519515 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-02 9,0645 9,0595 8,642 8,642 78,335409 78,292199 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-03 9,0675 9,0625 8,636 8,636 78,30693 78,26375 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-04 9,0415 9,0365 8,696 8,696 78,624884 78,581404 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-07 9,0425 9,0375 8,682 8,682 78,506985 78,463575 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-08 9,0345 9,0295 8,628 8,628 77,949666 77,906526 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-09 9,0365 9,0315 8,623 8,623 77,9217395 77,8786245 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-10 9,0655 9,0605 8,512 8,512 77,165536 77,122976 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-11 9,0795 9,0745 8,51 8,51 77,266545 77,223995 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-14 9,0695 9,0645 8,503 8,503 77,1179585 77,0754435 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-15 9,1035 9,0985 8,542 8,542 77,762097 77,719387 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-16 9,0975 9,0925 8,437 8,437 76,7556075 76,7134225 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-17 9,1045 9,0995 8,444 8,444 76,878398 76,836178 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-18 9,1035 9,0985 8,497 8,497 77,3524395 77,3099545 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-21 9,1265 9,1215 8,507 8,507 77,6391355 77,5966005 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-22 9,1265 9,1215 8,5 8,5 77,57525 77,53275 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-23 9,1165 9,1115 8,469 8,469 77,2076385 77,1652935 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-24 9,1135 9,1085 8,524 8,524 77,683474 77,640854 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-29 9,1315 9,1265 8,487 8,487 77,4990405 77,4566055 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-30 9,1425 9,1375 8,464 8,464 77,38212 77,3398 729129 Evli-Fondbolag Ab Evli Global EUR 2005-03-31 9,1405 9,1355 8,519 8,519 77,8679195 77,8253245 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-01 9,1645 9,1595 8,569 8,569 78,5306005 78,4877555 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-04 9,1695 9,1645 8,572 8,572 78,600954 78,558094 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-05 9,1745 9,1695 8,622 8,622 79,102539 79,059429 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-06 9,1705 9,1655 8,645 8,645 79,2789725 79,2357475 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-07 9,1505 9,1455 8,66 8,66 79,24333 79,20003 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-08 9,1625 9,1575 8,688 8,688 79,6038 79,56036 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-11 9,1705 9,1655 8,629 8,629 79,1322445 79,0890995 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-12 9,1525 9,1475 8,613 8,613 78,8304825 78,7874175 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-13 9,1495 9,1445 8,638 8,638 79,033381 78,990191 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-14 9,1685 9,1635 8,59 8,59 78,757415 78,714465 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-15 9,1925 9,1875 8,436 8,436 77,54793 77,50575 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-18 9,1805 9,1755 8,267 8,267 75,8951935 75,8538585 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-19 9,2035 9,1985 8,335 8,335 76,7111725 76,6694975 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-20 9,1915 9,1865 8,289 8,289 76,1883435 76,1468985 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-21 9,1855 9,1805 8,303 8,303 76,2672065 76,2256915 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-22 9,1625 9,1575 8,347 8,347 76,4793875 76,4376525 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-25 9,1685 9,1635 8,405 8,405 77,0612425 77,0192175 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-26 9,1375 9,1325 8,379 8,379 76,5631125 76,5212175 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-27 9,1465 9,1415 8,317 8,317 76,0714405 76,0298555 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-28 9,1505 9,1455 8,282 8,282 75,784441 75,743031 729129 Evli-Fondbolag Ab Evli Global EUR 2005-04-29 9,1705 9,1655 8,299 8,299 76,1059795 76,0644845 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-02 9,1935 9,1885 8,347 8,347 76,7381445 76,6964095 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-03 9,2245 9,2195 8,375 8,375 77,2551875 77,2133125 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-04 9,1915 9,1865 8,397 8,397 77,1810255 77,1390405 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-06 9,1715 9,1665 8,489 8,489 77,8568635 77,8144185 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-09 9,1815 9,1765 8,511 8,511 78,1437465 78,1011915 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-10 9,1985 9,1935 8,467 8,467 77,8836995 77,8413645 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-11 9,2105 9,2055 8,444 8,444 77,773462 77,731242 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-12 9,2315 9,2265 8,478 8,478 78,264657 78,222267 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-13 9,2045 9,1995 8,473 8,473 77,9897285 77,9473635 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-16 9,2145 9,2095 8,475 8,475 78,0928875 78,0505125 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-17 9,2325 9,2275 8,487 8,487 78,3562275 78,3137925 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-18 9,2095 9,2045 8,573 8,573 78,9530435 78,9101785 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-19 9,1905 9,1855 8,609 8,609 79,1210145 79,0779695 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-20 9,1955 9,1905 8,625 8,625 79,3111875 79,2680625 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-23 9,1805 9,1755 8,675 8,675 79,6408375 79,5974625 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-24 9,1815 9,1765 8,68 8,68 79,69542 79,65202 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-25 9,1785 9,1735 8,669 8,669 79,5684165 79,5250715 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-26 9,1945 9,1895 8,734 8,734 80,304763 80,261093 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-27 9,1955 9,1905 8,746 8,746 80,423843 80,380113 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-30 9,1905 9,1855 8,784 8,784 80,729352 80,685432 729129 Evli-Fondbolag Ab Evli Global EUR 2005-05-31 9,1665 9,1615 8,857 8,857 81,1876905 81,1434055 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-01 9,1455 9,1405 8,95 8,95 81,852225 81,807475 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-02 9,1565 9,1515 8,966 8,966 82,097179 82,052349 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-03 9,1315 9,1265 8,962 8,962 81,836503 81,791693 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-07 9,1455 9,1405 8,98 8,98 82,12659 82,08169 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-08 9,1455 9,1405 8,942 8,942 81,779061 81,734351 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-09 9,1965 9,1915 8,988 8,988 82,658142 82,613202 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-10 9,1975 9,1925 9,036 9,036 83,10861 83,06343 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-13 9,2365 9,2315 9,106 9,106 84,107569 84,062039 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-14 9,2985 9,2935 9,117 9,117 84,7744245 84,7288395 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-15 9,2695 9,2645 9,139 9,139 84,7139605 84,6682655 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-16 9,2695 9,2645 9,16 9,16 84,90862 84,86282 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-17 9,2695 9,2645 9,177 9,177 85,0662015 85,0203165 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-20 9,2255 9,2205 9,171 9,171 84,6070605 84,5612055 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-21 9,2725 9,2675 9,225 9,225 85,5388125 85,4926875 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-22 9,2615 9,2565 9,232 9,232 85,502168 85,456008 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-23 9,3535 9,3485 9,23 9,23 86,332805 86,286655 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-27 9,3855 9,3805 9,073 9,073 85,1546415 85,1092765 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-28 9,3995 9,3945 9,171 9,171 86,2028145 86,1569595 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-29 9,4215 9,4165 9,202 9,202 86,696643 86,650633 729129 Evli-Fondbolag Ab Evli Global EUR 2005-06-30 9,4415 9,4365 9,185 9,185 86,7201775 86,6742525 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-01 9,4595 9,4545 9,217 9,217 87,1882115 87,1421265 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-04 9,4795 9,4745 9,309 9,309 88,2446655 88,1981205 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-05 9,4575 9,4525 9,332 9,332 88,25739 88,21073 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-06 9,4195 9,4145 9,359 9,359 88,1571005 88,1103055 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-07 9,3965 9,3915 9,244 9,244 86,861246 86,815026 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-08 9,4175 9,4125 9,369 9,369 88,2325575 88,1857125 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-11 9,4665 9,4615 9,368 9,368 88,682172 88,635332 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-12 9,4645 9,4595 9,324 9,324 88,246998 88,200378 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-13 9,3915 9,3865 9,361 9,361 87,9138315 87,8670265 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-14 9,3675 9,3625 9,417 9,417 88,2137475 88,1666625 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-15 9,4055 9,4005 9,406 9,406 88,468133 88,421103 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-18 9,3895 9,3845 9,384 9,384 88,111068 88,064148 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-19 9,4425 9,4375 9,439 9,439 89,1277575 89,0805625 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-20 9,4265 9,4215 9,445 9,445 89,0332925 88,9860675 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-21 9,4625 9,4575 9,414 9,414 89,079975 89,032905 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-22 9,4495 9,4445 9,441 9,441 89,2127295 89,1655245 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-25 9,4275 9,4225 9,482 9,482 89,391555 89,344145 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-26 9,4155 9,4105 9,501 9,501 89,4566655 89,4091605 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-27 9,4725 9,4675 9,549 9,549 90,4529025 90,4051575 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-28 9,4515 9,4465 9,563 9,563 90,3846945 90,3368795 729129 Evli-Fondbolag Ab Evli Global EUR 2005-07-29 9,3885 9,3835 9,583 9,583 89,9699955 89,9220805 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-01 9,3985 9,3935 9,54 9,54 89,66169 89,61399 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-02 9,3995 9,3945 9,596 9,596 90,197602 90,149622 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-03 9,3755 9,3705 9,569 9,569 89,7141595 89,6663145 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-04 9,3735 9,3685 9,52 9,52 89,23572 89,18812 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-05 9,3355 9,3305 9,475 9,475 88,4538625 88,4064875 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-08 9,3335 9,3285 9,485 9,485 88,5282475 88,4808225 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-09 9,3455 9,3405 9,512 9,512 88,894396 88,846836 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-10 9,3535 9,3485 9,573 9,573 89,5410555 89,4931905 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-11 9,3365 9,3315 9,575 9,575 89,3969875 89,3491125 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-12 9,3025 9,2975 9,525 9,525 88,6063125 88,5586875 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-15 9,3065 9,3015 9,559 9,559 88,9608335 88,9130385 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-16 9,2995 9,2945 9,572 9,572 89,014814 88,966954 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-17 9,3405 9,3355 9,544 9,544 89,145732 89,098012 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-18 9,3365 9,3315 9,561 9,561 89,2662765 89,2184715 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-19 9,3395 9,3345 9,612 9,612 89,771274 89,723214 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-22 9,3655 9,3605 9,633 9,633 90,2178615 90,1696965 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-23 9,3715 9,3665 9,62 9,62 90,15383 90,10573 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-24 9,3365 9,3315 9,579 9,579 89,4343335 89,3864385 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-25 9,3335 9,3285 9,531 9,531 88,9575885 88,9099335 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-26 9,3415 9,3365 9,523 9,523 88,9591045 88,9114895 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-29 9,3295 9,3245 9,507 9,507 88,6955565 88,6480215 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-30 9,3285 9,3235 9,585 9,585 89,4136725 89,3657475 729129 Evli-Fondbolag Ab Evli Global EUR 2005-08-31 9,3585 9,3535 9,618 9,618 90,010053 89,961963 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-01 9,3365 9,3315 9,632 9,632 89,929168 89,881008 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-02 9,3025 9,2975 9,575 9,575 89,0714375 89,0235625 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-05 9,2845 9,2795 9,599 9,599 89,1219155 89,0739205 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-06 9,3225 9,3175 9,651 9,651 89,9714475 89,9231925 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-07 9,3075 9,3025 9,701 9,701 90,2920575 90,2435525 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-08 9,3255 9,3205 9,724 9,724 90,681162 90,632542 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-09 9,3445 9,3395 9,785 9,785 91,4359325 91,3870075 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-12 9,3015 9,2965 9,889 9,889 91,9825335 91,9330885 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-13 9,3015 9,2965 9,847 9,847 91,5918705 91,5426355 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-14 9,3365 9,3315 9,823 9,823 91,7124395 91,6633245 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-15 9,3425 9,3375 9,911 9,911 92,5935175 92,5439625 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-16 9,3465 9,3415 9,926 9,926 92,773359 92,723729 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-19 9,3355 9,3305 10,02 10,02 93,54171 93,49161 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-20 9,3395 9,3345 10,043 10,043 93,7965985 93,7463835 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-21 9,3405 9,3355 9,967 9,967 93,0967635 93,0469285 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-22 9,3405 9,3355 9,979 9,979 93,2088495 93,1589545 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-23 9,3695 9,3645 10,017 10,017 93,8542815 93,8041965 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-26 9,3815 9,3765 10,119 10,119 94,9313985 94,8808035 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-27 9,3885 9,3835 10,132 10,132 95,124282 95,073622 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-28 9,3935 9,3885 10,175 10,175 95,5788625 95,5279875 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-29 9,3845 9,3795 10,22 10,22 95,90959 95,85849 729129 Evli-Fondbolag Ab Evli Global EUR 2005-09-30 9,3435 9,3385 10,256 10,256 95,826936 95,775656 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-03 9,3025 9,2975 10,35 10,35 96,280875 96,229125 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-04 9,3185 9,3135 10,374 10,374 96,670119 96,618249 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-05 9,3105 9,3055 10,246 10,246 95,395383 95,344153 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-06 9,3015 9,2965 9,98 9,98 92,82897 92,77907 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-07 9,3385 9,3335 9,929 9,929 92,7219665 92,6723215 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-10 9,3465 9,3415 9,972 9,972 93,203298 93,153438 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-11 9,3395 9,3345 10,061 10,061 93,9647095 93,9144045 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-12 9,3375 9,3325 9,999 9,999 93,3656625 93,3156675 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-13 9,3815 9,3765 9,913 9,913 92,9988095 92,9492445 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-14 9,4135 9,4085 9,871 9,871 92,9206585 92,8713035 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-17 9,4575 9,4525 9,876 9,876 93,40227 93,35289 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-18 9,4625 9,4575 9,885 9,885 93,5368125 93,4873875 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-19 9,4605 9,4555 9,748 9,748 92,220954 92,172214 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-20 9,4935 9,4885 9,793 9,793 92,9698455 92,9208805 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-21 9,4915 9,4865 9,726 9,726 92,314329 92,265699 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-24 9,5455 9,5405 9,825 9,825 93,7845375 93,7354125 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-25 9,5465 9,5415 9,841 9,841 93,9471065 93,8979015 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-26 9,4975 9,4925 9,843 9,843 93,4838925 93,4346775 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-27 9,5355 9,5305 9,768 9,768 93,142764 93,093924 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-28 9,5135 9,5085 9,759 9,759 92,8422465 92,7934515 729129 Evli-Fondbolag Ab Evli Global EUR 2005-10-31 9,5495 9,5445 9,935 9,935 94,8742825 94,8246075 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-01 9,5495 9,5445 10,009 10,009 95,5809455 95,5309005 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-02 9,5855 9,5805 10,06 10,06 96,43013 96,37983 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-03 9,6515 9,6465 10,153 10,153 97,9916795 97,9409145 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-04 9,5875 9,5825 10,241 10,241 98,1855875 98,1343825 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-07 9,6075 9,6025 10,29 10,29 98,861175 98,809725 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-08 9,5685 9,5635 10,311 10,311 98,6608035 98,6092485 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-09 9,5575 9,5525 10,315 10,315 98,5856125 98,5340375 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-10 9,6105 9,6055 10,318 10,318 99,161139 99,109549 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-11 9,6365 9,6315 10,392 10,392 100,142508 100,090548 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-14 9,5505 9,5455 10,378 10,378 99,115089 99,063199 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-15 9,5805 9,5755 10,342 10,342 99,081531 99,029821 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-16 9,6235 9,6185 10,339 10,339 99,4973665 99,4456715 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-17 9,6355 9,6305 10,425 10,425 100,4500875 100,3979625 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-18 9,6085 9,6035 10,49 10,49 100,793165 100,740715 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-21 9,5915 9,5865 10,443 10,443 100,1640345 100,1118195 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-22 9,5585 9,5535 10,508 10,508 100,440718 100,388178 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-23 9,5155 9,5105 10,503 10,503 99,9412965 99,8887815 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-24 9,5125 9,5075 10,49 10,49 99,786125 99,733675 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-25 9,4965 9,4915 10,535 10,535 100,0456275 99,9929525 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-28 9,4835 9,4785 10,529 10,529 99,8517715 99,7991265 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-29 9,4785 9,4735 10,506 10,506 99,581121 99,528591 729129 Evli-Fondbolag Ab Evli Global EUR 2005-11-30 9,5295 9,5245 10,5 10,5 100,05975 100,00725 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-01 9,5165 9,5115 10,613 10,613 100,9986145 100,9455495 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-02 9,4905 9,4855 10,706 10,706 101,605293 101,551763 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-05 9,4065 9,4015 10,688 10,688 100,536672 100,483232 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-07 9,4255 9,4205 10,744 10,744 101,267572 101,213852 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-08 9,3965 9,3915 10,639 10,639 99,9693635 99,9161685 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-12 9,4315 9,4265 10,65 10,65 100,445475 100,392225 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-13 9,4295 9,4245 10,665 10,665 100,5656175 100,5122925 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-14 9,4365 9,4315 10,618 10,618 100,196757 100,143667 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-15 9,4345 9,4295 10,624 10,624 100,232128 100,179008 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-16 9,4765 9,4715 10,607 10,607 100,5172355 100,4642005 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-19 9,4535 9,4485 10,577 10,577 99,9896695 99,9367845 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-20 9,4015 9,3965 10,614 10,614 99,787521 99,734451 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-21 9,4485 9,4435 10,707 10,707 101,1650895 101,1115545 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-22 9,4365 9,4315 10,757 10,757 101,5084305 101,4546455 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-23 9,4425 9,4375 10,743 10,743 101,4407775 101,3870625 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-27 9,4915 9,4865 10,733 10,733 101,8722695 101,8186045 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-28 9,4345 9,4295 10,687 10,687 100,8265015 100,7730665 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-29 9,4115 9,4065 10,726 10,726 100,947749 100,894119 729129 Evli-Fondbolag Ab Evli Global EUR 2005-12-30 9,4325 9,4275 10,715 10,715 101,0692375 101,0156625 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-03 9,0065 9,0015 92,744 92,744 835,298836 834,835116 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-04 9,0345 9,0295 93,44 93,44 844,18368 843,71648 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-05 9,0615 9,0565 94,04 94,04 852,14346 851,67326 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-07 9,0615 9,0565 94,141 94,141 853,0586715 852,5879665 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-10 9,08619 9,08119 94,941 94,941 862,65196479 862,17725979 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-11 9,08619 9,08119 95,339 95,339 866,26826841 865,79157341 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-12 9,0455 9,0405 95,909 95,909 867,5448595 867,0653145 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-13 9,0505 9,0455 95,476 95,476 864,105538 863,628158 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-14 9,0455 9,0405 97,228 97,228 879,475874 878,989734 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-17 9,0685 9,0635 97,328 97,328 882,618968 882,132328 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-18 9,0585 9,0535 96,881 96,881 877,5965385 877,1121335 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-19 9,0225 9,0175 96,541 96,541 871,0411725 870,5584675 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-20 9,0315 9,0265 97,15 97,15 877,410225 876,924475 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-21 9,0505 9,0455 97,408 97,408 881,591104 881,104064 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-24 9,0655 9,0605 97,257 97,257 881,6833335 881,1970485 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-25 9,0715 9,0665 97,941 97,941 888,4717815 887,9820765 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-26 9,0885 9,0835 98,76 98,76 897,58026 897,08646 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-27 9,0675 9,0625 99,752 99,752 904,50126 904,0025 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-28 9,0955 9,0905 101,536 101,536 923,520688 923,013008 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-01-31 9,1075 9,1025 102,546 102,546 933,937695 933,424965 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-01 9,1035 9,0985 103,774 103,774 944,706609 944,187739 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-02 9,0905 9,0855 105,634 105,634 960,265877 959,737707 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-03 9,0695 9,0645 107,608 107,608 975,950756 975,412716 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-04 9,0895 9,0845 109,75 109,75 997,572625 997,023875 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-07 9,0755 9,0705 110,53 110,53 1003,115015 1002,562365 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-08 9,0895 9,0845 111,923 111,923 1017,3241085 1016,7644935 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-09 9,0695 9,0645 111,932 111,932 1015,167274 1014,607614 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-10 9,0805 9,0755 111,523 111,523 1012,6846015 1012,1269865 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-11 9,0935 9,0885 111,02 111,02 1009,56037 1009,00527 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-14 9,1105 9,1055 110,248 110,248 1004,414404 1003,863164 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-15 9,0765 9,0715 110,521 110,521 1003,1438565 1002,5912515 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-16 9,0705 9,0655 111,452 111,452 1010,925366 1010,368106 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-17 9,0925 9,0875 112,187 112,187 1020,0602975 1019,4993625 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-18 9,0945 9,0895 112,649 112,649 1024,4863305 1023,9230855 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-21 9,1185 9,1135 112,739 112,739 1028,0105715 1027,4468765 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-22 9,0975 9,0925 111,734 111,734 1016,500065 1015,941395 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-23 9,1045 9,0995 111,824 111,824 1018,101608 1017,542488 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-24 9,0715 9,0665 113,108 113,108 1026,059222 1025,493682 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-25 9,0845 9,0795 115,646 115,646 1050,586087 1050,007857 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-02-28 9,0505 9,0455 116,916 116,916 1058,148258 1057,563678 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-01 9,0565 9,0515 117,348 117,348 1062,762162 1062,175422 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-02 9,0645 9,0595 117,882 117,882 1068,541389 1067,951979 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-03 9,0675 9,0625 116,631 116,631 1057,5515925 1056,9684375 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-04 9,0415 9,0365 117,321 117,321 1060,7578215 1060,1712165 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-07 9,0425 9,0375 116,892 116,892 1056,99591 1056,41145 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-08 9,0345 9,0295 116,486 116,486 1052,392767 1051,810337 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-09 9,0365 9,0315 116,394 116,394 1051,794381 1051,212411 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-10 9,0655 9,0605 115,072 115,072 1043,185216 1042,609856 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-11 9,0795 9,0745 115,361 115,361 1047,4201995 1046,8433945 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-14 9,0695 9,0645 114,86 114,86 1041,72277 1041,14847 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-15 9,1035 9,0985 114,566 114,566 1042,951581 1042,378751 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-16 9,0975 9,0925 113,26 113,26 1030,38285 1029,81655 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-17 9,1045 9,0995 112,889 112,889 1027,7979005 1027,2334555 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-18 9,1035 9,0985 113,718 113,718 1035,231813 1034,663223 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-21 9,1265 9,1215 113,092 113,092 1032,134138 1031,568678 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-22 9,1265 9,1215 113,811 113,811 1038,6960915 1038,1270365 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-23 9,1165 9,1115 113,473 113,473 1034,4766045 1033,9092395 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-24 9,1135 9,1085 115,641 115,641 1053,8942535 1053,3160485 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-29 9,1315 9,1265 115,393 115,393 1053,7111795 1053,1342145 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-30 9,1425 9,1375 113,853 113,853 1040,9010525 1040,3317875 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-03-31 9,1405 9,1355 114,631 114,631 1047,7846555 1047,2115005 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-01 9,1645 9,1595 115,49 115,49 1058,408105 1057,830655 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-04 9,1695 9,1645 116,046 116,046 1064,083797 1063,503567 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-05 9,1745 9,1695 116,909 116,909 1072,5816205 1071,9970755 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-06 9,1705 9,1655 118,154 118,154 1083,531257 1082,940487 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-07 9,1505 9,1455 118,195 118,195 1081,5433475 1080,9523725 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-08 9,1625 9,1575 119,67 119,67 1096,476375 1095,878025 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-11 9,1705 9,1655 116,76 116,76 1070,74758 1070,16378 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-12 9,1525 9,1475 116,486 116,486 1066,138115 1065,555685 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-13 9,1495 9,1445 116,898 116,898 1069,558251 1068,973761 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-14 9,1685 9,1635 116,146 116,146 1064,884601 1064,303871 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-15 9,1925 9,1875 114,995 114,995 1057,0915375 1056,5165625 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-18 9,1805 9,1755 112,587 112,587 1033,6049535 1033,0420185 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-19 9,2035 9,1985 113,133 113,133 1041,2195655 1040,6539005 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-20 9,1915 9,1865 112,606 112,606 1035,018049 1034,455019 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-21 9,1855 9,1805 113,095 113,095 1038,8341225 1038,2686475 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-22 9,1625 9,1575 113,333 113,333 1038,4136125 1037,8469475 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-25 9,1685 9,1635 114,356 114,356 1048,472986 1047,901206 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-26 9,1375 9,1325 113,92 113,92 1040,944 1040,3744 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-27 9,1465 9,1415 112,729 112,729 1031,0757985 1030,5121535 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-28 9,1505 9,1455 111,45 111,45 1019,823225 1019,265975 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-04-29 9,1705 9,1655 110,943 110,943 1017,4027815 1016,8480665 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-02 9,1935 9,1885 111,551 111,551 1025,5441185 1024,9863635 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-03 9,2245 9,2195 111,22 111,22 1025,94889 1025,39279 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-04 9,1915 9,1865 110,706 110,706 1017,554199 1017,000669 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-06 9,1715 9,1665 111,536 111,536 1022,952424 1022,394744 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-09 9,1815 9,1765 112,576 112,576 1033,616544 1033,053664 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-10 9,1985 9,1935 112,219 112,219 1032,2464715 1031,6853765 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-11 9,2105 9,2055 110,55 110,55 1018,220775 1017,668025 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-12 9,2315 9,2265 110,231 110,231 1017,5974765 1017,0463215 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-13 9,2045 9,1995 110,405 110,405 1016,2228225 1015,6707975 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-16 9,2145 9,2095 109,346 109,346 1007,568717 1007,021987 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-17 9,2325 9,2275 109,495 109,495 1010,9125875 1010,3651125 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-18 9,2095 9,2045 110,109 110,109 1014,0488355 1013,4982905 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-19 9,1905 9,1855 109,934 109,934 1010,348427 1009,798757 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-20 9,1955 9,1905 110,378 110,378 1014,980899 1014,429009 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-23 9,1805 9,1755 111,08 111,08 1019,76994 1019,21454 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-24 9,1815 9,1765 112,762 112,762 1035,324303 1034,760493 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-25 9,1785 9,1735 112,697 112,697 1034,3894145 1033,8259295 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-26 9,1945 9,1895 113,6 113,6 1044,4952 1043,9272 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-27 9,1955 9,1905 113,609 113,609 1044,6915595 1044,1235145 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-30 9,1905 9,1855 114,168 114,168 1049,261004 1048,690164 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-05-31 9,1665 9,1615 116,76 116,76 1070,28054 1069,69674 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-01 9,1455 9,1405 116,415 116,415 1064,6733825 1064,0913075 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-02 9,1565 9,1515 116,567 116,567 1067,3457355 1066,7629005 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-03 9,1315 9,1265 116,255 116,255 1061,5825325 1061,0012575 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-07 9,1455 9,1405 115,406 115,406 1055,445573 1054,868543 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-08 9,1455 9,1405 115,284 115,284 1054,329822 1053,753402 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-09 9,1965 9,1915 115,837 115,837 1065,2949705 1064,7157855 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-10 9,1975 9,1925 115,955 115,955 1066,4961125 1065,9163375 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-13 9,2365 9,2315 117,321 117,321 1083,6354165 1083,0488115 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-14 9,2985 9,2935 117,557 117,557 1093,1037645 1092,5159795 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-15 9,2695 9,2645 117,801 117,801 1091,9563695 1091,3673645 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-16 9,2695 9,2645 117,614 117,614 1090,222973 1089,634903 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-17 9,2695 9,2645 117,667 117,667 1090,7142565 1090,1259215 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-20 9,2255 9,2205 117,585 117,585 1084,7804175 1084,1924925 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-21 9,2725 9,2675 118,437 118,437 1098,2070825 1097,6148975 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-22 9,2615 9,2565 119,061 119,061 1102,6834515 1102,0881465 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-23 9,3535 9,3485 119,711 119,711 1119,7168385 1119,1182835 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-27 9,3855 9,3805 118,493 118,493 1112,1160515 1111,5235865 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-28 9,3995 9,3945 118,904 118,904 1117,638148 1117,043628 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-29 9,4215 9,4165 119,435 119,435 1125,2568525 1124,6596775 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-06-30 9,4415 9,4365 120,528 120,528 1137,965112 1137,362472 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-01 9,4595 9,4545 121,747 121,747 1151,6657465 1151,0570115 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-04 9,4795 9,4745 123,649 123,649 1172,1306955 1171,5124505 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-05 9,4575 9,4525 123,583 123,583 1168,7862225 1168,1683075 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-06 9,4195 9,4145 125,123 125,123 1178,5960985 1177,9704835 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-07 9,3965 9,3915 124,484 124,484 1169,713906 1169,091486 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-08 9,4175 9,4125 126,351 126,351 1189,9105425 1189,2787875 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-11 9,4665 9,4615 125,598 125,598 1188,973467 1188,345477 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-12 9,4645 9,4595 124,43 124,43 1177,667735 1177,045585 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-13 9,3915 9,3865 124,963 124,963 1173,5900145 1172,9651995 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-14 9,3675 9,3625 125,771 125,771 1178,1598425 1177,5309875 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-15 9,4055 9,4005 125,749 125,749 1182,7322195 1182,1034745 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-18 9,3895 9,3845 125,974 125,974 1182,832873 1182,203003 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-19 9,4425 9,4375 127,143 127,143 1200,5477775 1199,9120625 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-20 9,4265 9,4215 127,74 127,74 1204,14111 1203,50241 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-21 9,4625 9,4575 126,946 126,946 1201,226525 1200,591795 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-22 9,4495 9,4445 129,334 129,334 1222,141633 1221,494963 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-25 9,4275 9,4225 130,54 130,54 1230,66585 1230,01315 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-26 9,4155 9,4105 130,329 130,329 1227,1126995 1226,4610545 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-27 9,4725 9,4675 130,468 130,468 1235,85813 1235,20579 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-28 9,4515 9,4465 130,547 130,547 1233,8649705 1233,2122355 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-07-29 9,3885 9,3835 130,809 130,809 1228,1002965 1227,4462515 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-01 9,3985 9,3935 129,593 129,593 1217,9798105 1217,3318455 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-02 9,3995 9,3945 130,643 130,643 1227,9788785 1227,3256635 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-03 9,3755 9,3705 129,414 129,414 1213,320957 1212,673887 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-04 9,3735 9,3685 130,359 130,359 1221,9200865 1221,2682915 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-05 9,3355 9,3305 131,613 131,613 1228,6731615 1228,0150965 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-08 9,3335 9,3285 132,025 132,025 1232,2553375 1231,5952125 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-09 9,3455 9,3405 132,609 132,609 1239,2974095 1238,6343645 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-10 9,3535 9,3485 133,286 133,286 1246,690601 1246,024171 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-11 9,3365 9,3315 132,167 132,167 1233,9771955 1233,3163605 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-12 9,3025 9,2975 132,398 132,398 1231,632395 1230,970405 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-15 9,3065 9,3015 133,586 133,586 1243,218109 1242,550179 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-16 9,2995 9,2945 136,353 136,353 1268,0147235 1267,3329585 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-17 9,3405 9,3355 137,17 137,17 1281,236385 1280,550535 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-18 9,3365 9,3315 137,911 137,911 1287,6060515 1286,9164965 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-19 9,3395 9,3345 139,161 139,161 1299,6941595 1298,9983545 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-22 9,3655 9,3605 138,717 138,717 1299,1540635 1298,4604785 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-23 9,3715 9,3665 139,132 139,132 1303,875538 1303,179878 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-24 9,3365 9,3315 139,877 139,877 1305,9616105 1305,2622255 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-25 9,3335 9,3285 138,943 138,943 1296,8244905 1296,1297755 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-26 9,3415 9,3365 138,7 138,7 1295,66605 1294,97255 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-29 9,3295 9,3245 138,783 138,783 1294,7759985 1294,0820835 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-30 9,3285 9,3235 140,011 140,011 1306,0926135 1305,3925585 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-08-31 9,3585 9,3535 140,614 140,614 1315,936119 1315,233049 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-01 9,3365 9,3315 140,181 140,181 1308,7999065 1308,0990015 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-02 9,3025 9,2975 140,271 140,271 1304,8709775 1304,1696225 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-05 9,2845 9,2795 140,84 140,84 1307,62898 1306,92478 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-06 9,3225 9,3175 139,576 139,576 1301,19726 1300,49938 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-07 9,3075 9,3025 139,089 139,089 1294,5708675 1293,8754225 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-08 9,3255 9,3205 141 141 1314,8955 1314,1905 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-09 9,3445 9,3395 143,053 143,053 1336,7587585 1336,0434935 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-12 9,3015 9,2965 144,744 144,744 1346,336316 1345,612596 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-13 9,3015 9,2965 144,771 144,771 1346,5874565 1345,8636015 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-14 9,3365 9,3315 144,073 144,073 1345,1375645 1344,4171995 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-15 9,3425 9,3375 146,304 146,304 1366,84512 1366,1136 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-16 9,3465 9,3415 147,167 147,167 1375,4963655 1374,7605305 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-19 9,3355 9,3305 149,936 149,936 1399,727528 1398,977848 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-20 9,3395 9,3345 150,673 150,673 1407,2104835 1406,4571185 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-21 9,3405 9,3355 151,809 151,809 1417,9719645 1417,2129195 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-22 9,3405 9,3355 152,904 152,904 1428,199812 1427,435292 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-23 9,3695 9,3645 154,928 154,928 1451,597896 1450,823256 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-26 9,3815 9,3765 155,717 155,717 1460,8590355 1460,0804505 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-27 9,3885 9,3835 158,291 158,291 1486,1150535 1485,3235985 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-28 9,3935 9,3885 159,234 159,234 1495,764579 1494,968409 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-29 9,3845 9,3795 159,95 159,95 1501,050775 1500,251025 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-09-30 9,3435 9,3385 161,867 161,867 1512,4043145 1511,5949795 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-03 9,3025 9,2975 165,477 165,477 1539,3497925 1538,5224075 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-04 9,3185 9,3135 168,485 168,485 1570,0274725 1569,1850475 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-05 9,3105 9,3055 165,575 165,575 1541,5860375 1540,7581625 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-06 9,3015 9,2965 159,195 159,195 1480,7522925 1479,9563175 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-07 9,3385 9,3335 157,499 157,499 1470,8044115 1470,0169165 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-10 9,3465 9,3415 159,778 159,778 1493,365077 1492,566187 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-11 9,3395 9,3345 161,362 161,362 1507,040399 1506,233589 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-12 9,3375 9,3325 159,993 159,993 1493,9346375 1493,1346725 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-13 9,3815 9,3765 157,527 157,527 1477,8395505 1477,0519155 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-14 9,4135 9,4085 155,729 155,729 1465,9549415 1465,1762965 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-17 9,4575 9,4525 155,565 155,565 1471,2559875 1470,4781625 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-18 9,4625 9,4575 156,686 156,686 1482,641275 1481,857845 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-19 9,4605 9,4555 152,35 152,35 1441,307175 1440,545425 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-20 9,4935 9,4885 152,118 152,118 1444,132233 1443,371643 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-21 9,4915 9,4865 151,625 151,625 1439,1486875 1438,3905625 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-24 9,5455 9,5405 153,323 153,323 1463,5446965 1462,7780815 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-25 9,5465 9,5415 152,082 152,082 1451,850813 1451,090403 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-26 9,4975 9,4925 151,72 151,72 1440,9607 1440,2021 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-27 9,5355 9,5305 149,936 149,936 1429,714728 1428,965048 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-28 9,5135 9,5085 150,568 150,568 1432,428668 1431,675828 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-10-31 9,5495 9,5445 153,494 153,494 1465,790953 1465,023483 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-01 9,5495 9,5445 154,332 154,332 1473,793434 1473,021774 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-02 9,5855 9,5805 155,99 155,99 1495,242145 1494,462195 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-03 9,6515 9,6465 157,23 157,23 1517,505345 1516,719195 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-04 9,5875 9,5825 158,723 158,723 1521,7567625 1520,9631475 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-07 9,6075 9,6025 160,103 160,103 1538,1895725 1537,3890575 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-08 9,5685 9,5635 160,311 160,311 1533,9358035 1533,1342485 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-09 9,5575 9,5525 162,707 162,707 1555,0721525 1554,2586175 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-10 9,6105 9,6055 161,298 161,298 1550,154429 1549,347939 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-11 9,6365 9,6315 162,035 162,035 1561,4502775 1560,6401025 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-14 9,5505 9,5455 163,314 163,314 1559,730357 1558,913787 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-15 9,5805 9,5755 163,602 163,602 1567,388961 1566,570951 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-16 9,6235 9,6185 163,745 163,745 1575,8000075 1574,9812825 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-17 9,6355 9,6305 165,453 165,453 1594,2223815 1593,3951165 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-18 9,6085 9,6035 166,295 166,295 1597,8455075 1597,0140325 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-21 9,5915 9,5865 165,438 165,438 1586,798577 1585,971387 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-22 9,5585 9,5535 166,459 166,459 1591,0983515 1590,2660565 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-23 9,5155 9,5105 164,471 164,471 1565,0238005 1564,2014455 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-24 9,5125 9,5075 165,782 165,782 1577,001275 1576,172365 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-25 9,4965 9,4915 166,444 166,444 1580,635446 1579,803226 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-28 9,4835 9,4785 167,646 167,646 1589,870841 1589,032611 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-29 9,4785 9,4735 166,819 166,819 1581,1938915 1580,3597965 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-11-30 9,5295 9,5245 167,674 167,674 1597,849383 1597,011013 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-01 9,5165 9,5115 168,923 168,923 1607,5557295 1606,7111145 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-02 9,4905 9,4855 170,368 170,368 1616,877504 1616,025664 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-05 9,4065 9,4015 169,255 169,255 1592,0971575 1591,2508825 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-07 9,4255 9,4205 170,487 170,487 1606,9252185 1606,0727835 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-08 9,3965 9,3915 169,968 169,968 1597,104312 1596,254472 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-12 9,4315 9,4265 168,435 168,435 1588,5947025 1587,7525275 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-13 9,4295 9,4245 168,068 168,068 1584,797206 1583,956866 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-14 9,4365 9,4315 168,29 168,29 1588,068585 1587,227135 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-15 9,4345 9,4295 168,36 168,36 1588,39242 1587,55062 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-16 9,4765 9,4715 169,179 169,179 1603,2247935 1602,3788985 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-19 9,4535 9,4485 169,796 169,796 1605,166486 1604,317506 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-20 9,4015 9,3965 168,897 168,897 1587,8851455 1587,0406605 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-21 9,4485 9,4435 170,206 170,206 1608,191391 1607,340361 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-22 9,4365 9,4315 172,014 172,014 1623,210111 1622,350041 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-23 9,4425 9,4375 171,227 171,227 1616,8109475 1615,9548125 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-27 9,4915 9,4865 171,048 171,048 1623,502092 1622,646852 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-28 9,4345 9,4295 169,546 169,546 1599,581737 1598,734007 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-29 9,4115 9,4065 170,757 170,757 1607,0795055 1606,2257205 889386 Evli-Fondbolag Ab Evli Greater Russia EUR 2005-12-30 9,4325 9,4275 171,743 171,743 1619,9658475 1619,1071325 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-03 9,0065 9,0015 6,546 6,546 58,956549 58,923819 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-04 9,0345 9,0295 6,492 6,492 58,651974 58,619514 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-05 9,0615 9,0565 6,469 6,469 58,6188435 58,5864985 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-07 9,0615 9,0565 6,486 6,486 58,772889 58,740459 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-10 9,08619 9,08119 6,534 6,534 59,36916546 59,33649546 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-11 9,08619 9,08119 6,408 6,408 58,22430552 58,19226552 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-12 9,0455 9,0405 6,422 6,422 58,090201 58,058091 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-13 9,0505 9,0455 6,376 6,376 57,705988 57,674108 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-14 9,0455 9,0405 6,477 6,477 58,5877035 58,5553185 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-17 9,0685 9,0635 6,507 6,507 59,0087295 58,9761945 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-18 9,0585 9,0535 6,516 6,516 59,025186 58,992606 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-19 9,0225 9,0175 6,445 6,445 58,1500125 58,1177875 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-20 9,0315 9,0265 6,459 6,459 58,3344585 58,3021635 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-21 9,0505 9,0455 6,425 6,425 58,1494625 58,1173375 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-24 9,0655 9,0605 6,307 6,307 57,1761085 57,1445735 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-25 9,0715 9,0665 6,364 6,364 57,731026 57,699206 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-26 9,0885 9,0835 6,414 6,414 58,293639 58,261569 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-27 9,0675 9,0625 6,472 6,472 58,68486 58,6525 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-28 9,0955 9,0905 6,413 6,413 58,3294415 58,2973765 534214 Evli-Fondbolag Ab Evli IT EUR 2005-01-31 9,1075 9,1025 6,483 6,483 59,0439225 59,0115075 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-01 9,1035 9,0985 6,542 6,542 59,555097 59,522387 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-02 9,0905 9,0855 6,543 6,543 59,4791415 59,4464265 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-03 9,0695 9,0645 6,512 6,512 59,060584 59,028024 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-04 9,0895 9,0845 6,649 6,649 60,4360855 60,4028405 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-07 9,0755 9,0705 6,689 6,689 60,7060195 60,6725745 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-08 9,0895 9,0845 6,726 6,726 61,135977 61,102347 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-09 9,0695 9,0645 6,679 6,679 60,5751905 60,5417955 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-10 9,0805 9,0755 6,623 6,623 60,1401515 60,1070365 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-11 9,0935 9,0885 6,675 6,675 60,6991125 60,6657375 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-14 9,1105 9,1055 6,668 6,668 60,748814 60,715474 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-15 9,0765 9,0715 6,677 6,677 60,6037905 60,5704055 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-16 9,0705 9,0655 6,612 6,612 59,974146 59,941086 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-17 9,0925 9,0875 6,538 6,538 59,446765 59,414075 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-18 9,0945 9,0895 6,531 6,531 59,3961795 59,3635245 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-21 9,1185 9,1135 6,529 6,529 59,5346865 59,5020415 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-22 9,0975 9,0925 6,438 6,438 58,569705 58,537515 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-23 9,1045 9,0995 6,398 6,398 58,250591 58,218601 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-24 9,0715 9,0665 6,433 6,433 58,3569595 58,3247945 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-25 9,0845 9,0795 6,513 6,513 59,1673485 59,1347835 534214 Evli-Fondbolag Ab Evli IT EUR 2005-02-28 9,0505 9,0455 6,462 6,462 58,484331 58,452021 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-01 9,0565 9,0515 6,54 6,54 59,22951 59,19681 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-02 9,0645 9,0595 6,575 6,575 59,5990875 59,5662125 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-03 9,0675 9,0625 6,526 6,526 59,174505 59,141875 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-04 9,0415 9,0365 6,543 6,543 59,1585345 59,1258195 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-07 9,0425 9,0375 6,571 6,571 59,4182675 59,3854125 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-08 9,0345 9,0295 6,517 6,517 58,8778365 58,8452515 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-09 9,0365 9,0315 6,492 6,492 58,664958 58,632498 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-10 9,0655 9,0605 6,465 6,465 58,6084575 58,5761325 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-11 9,0795 9,0745 6,415 6,415 58,2449925 58,2129175 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-14 9,0695 9,0645 6,441 6,441 58,4166495 58,3844445 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-15 9,1035 9,0985 6,379 6,379 58,0712265 58,0393315 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-16 9,0975 9,0925 6,299 6,299 57,3051525 57,2736575 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-17 9,1045 9,0995 6,3 6,3 57,35835 57,32685 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-18 9,1035 9,0985 6,281 6,281 57,1790835 57,1476785 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-21 9,1265 9,1215 6,303 6,303 57,5243295 57,4928145 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-22 9,1265 9,1215 6,269 6,269 57,2140285 57,1826835 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-23 9,1165 9,1115 6,315 6,315 57,5706975 57,5391225 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-24 9,1135 9,1085 6,352 6,352 57,888952 57,857192 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-29 9,1315 9,1265 6,342 6,342 57,911973 57,880263 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-30 9,1425 9,1375 6,406 6,406 58,566855 58,534825 534214 Evli-Fondbolag Ab Evli IT EUR 2005-03-31 9,1405 9,1355 6,403 6,403 58,5266215 58,4946065 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-01 9,1645 9,1595 6,396 6,396 58,616142 58,584162 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-04 9,1695 9,1645 6,387 6,387 58,5655965 58,5336615 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-05 9,1745 9,1695 6,417 6,417 58,8727665 58,8406815 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-06 9,1705 9,1655 6,402 6,402 58,709541 58,677531 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-07 9,1505 9,1455 6,45 6,45 59,020725 58,988475 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-08 9,1625 9,1575 6,475 6,475 59,3271875 59,2948125 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-11 9,1705 9,1655 6,403 6,403 58,7187115 58,6866965 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-12 9,1525 9,1475 6,422 6,422 58,777355 58,745245 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-13 9,1495 9,1445 6,393 6,393 58,4927535 58,4607885 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-14 9,1685 9,1635 6,357 6,357 58,2841545 58,2523695 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-15 9,1925 9,1875 6,129 6,129 56,3408325 56,3101875 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-18 9,1805 9,1755 6,069 6,069 55,7164545 55,6861095 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-19 9,2035 9,1985 6,11 6,11 56,233385 56,202835 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-20 9,1915 9,1865 6,066 6,066 55,755639 55,725309 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-21 9,1855 9,1805 6,204 6,204 56,986842 56,955822 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-22 9,1625 9,1575 6,148 6,148 56,33105 56,30031 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-25 9,1685 9,1635 6,207 6,207 56,9088795 56,8778445 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-26 9,1375 9,1325 6,143 6,143 56,1316625 56,1009475 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-27 9,1465 9,1415 6,13 6,13 56,068045 56,037395 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-28 9,1505 9,1455 6,068 6,068 55,525234 55,494894 534214 Evli-Fondbolag Ab Evli IT EUR 2005-04-29 9,1705 9,1655 6,085 6,085 55,8024925 55,7720675 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-02 9,1935 9,1885 6,156 6,156 56,595186 56,564406 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-03 9,2245 9,2195 6,208 6,208 57,265696 57,234656 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-04 9,1915 9,1865 6,231 6,231 57,2722365 57,2410815 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-06 9,1715 9,1665 6,329 6,329 58,0464235 58,0147785 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-09 9,1815 9,1765 6,387 6,387 58,6422405 58,6103055 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-10 9,1985 9,1935 6,323 6,323 58,1621155 58,1305005 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-11 9,2105 9,2055 6,347 6,347 58,4590435 58,4273085 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-12 9,2315 9,2265 6,406 6,406 59,136989 59,104959 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-13 9,2045 9,1995 6,552 6,552 60,307884 60,275124 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-16 9,2145 9,2095 6,6 6,6 60,8157 60,7827 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-17 9,2325 9,2275 6,611 6,611 61,0360575 61,0030025 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-18 9,2095 9,2045 6,717 6,717 61,8602115 61,8266265 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-19 9,1905 9,1855 6,755 6,755 62,0818275 62,0480525 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-20 9,1955 9,1905 6,786 6,786 62,400663 62,366733 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-23 9,1805 9,1755 6,837 6,837 62,7670785 62,7328935 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-24 9,1815 9,1765 6,844 6,844 62,838186 62,803966 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-25 9,1785 9,1735 6,82 6,82 62,59737 62,56327 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-26 9,1945 9,1895 6,908 6,908 63,515606 63,481066 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-27 9,1955 9,1905 6,89 6,89 63,356995 63,322545 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-30 9,1905 9,1855 6,925 6,925 63,6442125 63,6095875 534214 Evli-Fondbolag Ab Evli IT EUR 2005-05-31 9,1665 9,1615 6,958 6,958 63,780507 63,745717 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-01 9,1455 9,1405 7,076 7,076 64,713558 64,678178 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-02 9,1565 9,1515 7,105 7,105 65,0569325 65,0214075 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-03 9,1315 9,1265 7,036 7,036 64,249234 64,214054 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-07 9,1455 9,1405 6,967 6,967 63,7166985 63,6818635 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-08 9,1455 9,1405 6,949 6,949 63,5520795 63,5173345 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-09 9,1965 9,1915 7,039 7,039 64,7341635 64,6989685 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-10 9,1975 9,1925 7,011 7,011 64,4836725 64,4486175 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-13 9,2365 9,2315 7,088 7,088 65,468312 65,432872 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-14 9,2985 9,2935 7,067 7,067 65,7124995 65,6771645 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-15 9,2695 9,2645 7,098 7,098 65,794911 65,759421 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-16 9,2695 9,2645 7,116 7,116 65,961762 65,926182 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-17 9,2695 9,2645 7,092 7,092 65,739294 65,703834 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-20 9,2255 9,2205 7,07 7,07 65,224285 65,188935 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-21 9,2725 9,2675 7,172 7,172 66,50237 66,46651 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-22 9,2615 9,2565 7,196 7,196 66,645754 66,609774 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-23 9,3535 9,3485 7,172 7,172 67,083302 67,047442 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-27 9,3855 9,3805 6,932 6,932 65,060286 65,025626 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-28 9,3995 9,3945 7,032 7,032 66,097284 66,062124 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-29 9,4215 9,4165 7,065 7,065 66,5628975 66,5275725 534214 Evli-Fondbolag Ab Evli IT EUR 2005-06-30 9,4415 9,4365 6,986 6,986 65,958319 65,923389 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-01 9,4595 9,4545 6,991 6,991 66,1313645 66,0964095 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-04 9,4795 9,4745 7,077 7,077 67,0864215 67,0510365 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-05 9,4575 9,4525 7,137 7,137 67,4981775 67,4624925 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-06 9,4195 9,4145 7,143 7,143 67,2834885 67,2477735 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-07 9,3965 9,3915 7,122 7,122 66,921873 66,886263 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-08 9,4175 9,4125 7,297 7,297 68,7194975 68,6830125 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-11 9,4665 9,4615 7,358 7,358 69,654507 69,617717 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-12 9,4645 9,4595 7,347 7,347 69,5356815 69,4989465 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-13 9,3915 9,3865 7,404 7,404 69,534666 69,497646 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-14 9,3675 9,3625 7,491 7,491 70,1719425 70,1344875 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-15 9,4055 9,4005 7,483 7,483 70,3813565 70,3439415 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-18 9,3895 9,3845 7,453 7,453 69,9799435 69,9426785 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-19 9,4425 9,4375 7,611 7,611 71,8668675 71,8288125 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-20 9,4265 9,4215 7,533 7,533 71,0098245 70,9721595 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-21 9,4625 9,4575 7,423 7,423 70,2401375 70,2030225 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-22 9,4495 9,4445 7,446 7,446 70,360977 70,323747 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-25 9,4275 9,4225 7,456 7,456 70,29144 70,25416 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-26 9,4155 9,4105 7,523 7,523 70,8328065 70,7951915 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-27 9,4725 9,4675 7,555 7,555 71,5647375 71,5269625 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-28 9,4515 9,4465 7,573 7,573 71,5762095 71,5383445 534214 Evli-Fondbolag Ab Evli IT EUR 2005-07-29 9,3885 9,3835 7,532 7,532 70,714182 70,676522 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-01 9,3985 9,3935 7,47 7,47 70,206795 70,169445 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-02 9,3995 9,3945 7,529 7,529 70,7688355 70,7311905 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-03 9,3755 9,3705 7,513 7,513 70,4381315 70,4005665 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-04 9,3735 9,3685 7,421 7,421 69,5607435 69,5236385 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-05 9,3355 9,3305 7,358 7,358 68,690609 68,653819 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-08 9,3335 9,3285 7,34 7,34 68,50789 68,47119 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-09 9,3455 9,3405 7,391 7,391 69,0725905 69,0356355 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-10 9,3535 9,3485 7,318 7,318 68,448913 68,412323 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-11 9,3365 9,3315 7,294 7,294 68,100431 68,063961 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-12 9,3025 9,2975 7,225 7,225 67,2105625 67,1744375 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-15 9,3065 9,3015 7,283 7,283 67,7792395 67,7428245 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-16 9,2995 9,2945 7,245 7,245 67,3748775 67,3386525 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-17 9,3405 9,3355 7,309 7,309 68,2697145 68,2331695 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-18 9,3365 9,3315 7,31 7,31 68,249815 68,213265 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-19 9,3395 9,3345 7,331 7,331 68,4678745 68,4312195 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-22 9,3655 9,3605 7,354 7,354 68,873887 68,837117 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-23 9,3715 9,3665 7,319 7,319 68,5900085 68,5534135 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-24 9,3365 9,3315 7,287 7,287 68,0350755 67,9986405 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-25 9,3335 9,3285 7,247 7,247 67,6398745 67,6036395 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-26 9,3415 9,3365 7,213 7,213 67,3802395 67,3441745 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-29 9,3295 9,3245 7,245 7,245 67,5922275 67,5560025 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-30 9,3285 9,3235 7,291 7,291 68,0140935 67,9776385 534214 Evli-Fondbolag Ab Evli IT EUR 2005-08-31 9,3585 9,3535 7,331 7,331 68,6071635 68,5705085 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-01 9,3365 9,3315 7,239 7,239 67,5869235 67,5507285 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-02 9,3025 9,2975 7,18 7,18 66,79195 66,75605 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-05 9,2845 9,2795 7,191 7,191 66,7648395 66,7288845 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-06 9,3225 9,3175 7,318 7,318 68,222055 68,185465 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-07 9,3075 9,3025 7,371 7,371 68,6055825 68,5687275 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-08 9,3255 9,3205 7,399 7,399 68,9993745 68,9623795 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-09 9,3445 9,3395 7,438 7,438 69,504391 69,467201 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-12 9,3015 9,2965 7,489 7,489 69,6589335 69,6214885 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-13 9,3015 9,2965 7,506 7,506 69,817059 69,779529 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-14 9,3365 9,3315 7,453 7,453 69,5849345 69,5476695 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-15 9,3425 9,3375 7,469 7,469 69,7791325 69,7417875 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-16 9,3465 9,3415 7,494 7,494 70,042671 70,005201 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-19 9,3355 9,3305 7,509 7,509 70,1002695 70,0627245 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-20 9,3395 9,3345 7,484 7,484 69,896818 69,859398 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-21 9,3405 9,3355 7,367 7,367 68,8114635 68,7746285 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-22 9,3405 9,3355 7,346 7,346 68,615313 68,578583 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-23 9,3695 9,3645 7,404 7,404 69,371778 69,334758 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-26 9,3815 9,3765 7,484 7,484 70,211146 70,173726 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-27 9,3885 9,3835 7,458 7,458 70,019433 69,982143 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-28 9,3935 9,3885 7,479 7,479 70,2539865 70,2165915 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-29 9,3845 9,3795 7,523 7,523 70,5995935 70,5619785 534214 Evli-Fondbolag Ab Evli IT EUR 2005-09-30 9,3435 9,3385 7,601 7,601 71,0199435 70,9819385 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-03 9,3025 9,2975 7,691 7,691 71,5455275 71,5070725 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-04 9,3185 9,3135 7,667 7,667 71,4449395 71,4066045 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-05 9,3105 9,3055 7,556 7,556 70,350138 70,312358 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-06 9,3015 9,2965 7,424 7,424 69,054336 69,017216 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-07 9,3385 9,3335 7,379 7,379 68,9087915 68,8718965 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-10 9,3465 9,3415 7,38 7,38 68,97717 68,94027 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-11 9,3395 9,3345 7,378 7,378 68,906831 68,869941 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-12 9,3375 9,3325 7,332 7,332 68,46255 68,42589 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-13 9,3815 9,3765 7,333 7,333 68,7945395 68,7578745 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-14 9,4135 9,4085 7,382 7,382 69,490457 69,453547 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-17 9,4575 9,4525 7,375 7,375 69,7490625 69,7121875 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-18 9,4625 9,4575 7,383 7,383 69,8616375 69,8247225 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-19 9,4605 9,4555 7,399 7,399 69,9982395 69,9612445 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-20 9,4935 9,4885 7,366 7,366 69,929121 69,892291 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-21 9,4915 9,4865 7,347 7,347 69,7340505 69,6973155 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-24 9,5455 9,5405 7,478 7,478 71,381249 71,343859 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-25 9,5465 9,5415 7,438 7,438 71,006867 70,969677 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-26 9,4975 9,4925 7,402 7,402 70,300495 70,263485 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-27 9,5355 9,5305 7,244 7,244 69,075162 69,038942 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-28 9,5135 9,5085 7,298 7,298 69,429523 69,393033 534214 Evli-Fondbolag Ab Evli IT EUR 2005-10-31 9,5495 9,5445 7,497 7,497 71,5926015 71,5551165 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-01 9,5495 9,5445 7,481 7,481 71,4398095 71,4024045 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-02 9,5855 9,5805 7,53 7,53 72,178815 72,141165 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-03 9,6515 9,6465 7,588 7,588 73,235582 73,197642 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-04 9,5875 9,5825 7,659 7,659 73,4306625 73,3923675 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-07 9,6075 9,6025 7,757 7,757 74,5253775 74,4865925 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-08 9,5685 9,5635 7,79 7,79 74,538615 74,499665 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-09 9,5575 9,5525 7,825 7,825 74,7874375 74,7483125 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-10 9,6105 9,6055 7,835 7,835 75,2982675 75,2590925 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-11 9,6365 9,6315 7,914 7,914 76,263261 76,223691 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-14 9,5505 9,5455 7,895 7,895 75,4011975 75,3617225 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-15 9,5805 9,5755 7,893 7,893 75,6188865 75,5794215 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-16 9,6235 9,6185 7,863 7,863 75,6695805 75,6302655 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-17 9,6355 9,6305 7,955 7,955 76,6504025 76,6106275 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-18 9,6085 9,6035 8,003 8,003 76,8968255 76,8568105 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-21 9,5915 9,5865 7,927 7,927 76,0318205 75,9921855 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-22 9,5585 9,5535 7,995 7,995 76,4202075 76,3802325 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-23 9,5155 9,5105 8,013 8,013 76,2477015 76,2076365 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-24 9,5125 9,5075 7,997 7,997 76,0714625 76,0314775 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-25 9,4965 9,4915 8,033 8,033 76,2853845 76,2452195 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-28 9,4835 9,4785 8,002 8,002 75,886967 75,846957 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-29 9,4785 9,4735 7,948 7,948 75,335118 75,295378 534214 Evli-Fondbolag Ab Evli IT EUR 2005-11-30 9,5295 9,5245 7,943 7,943 75,6928185 75,6531035 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-01 9,5165 9,5115 8,102 8,102 77,102683 77,062173 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-02 9,4905 9,4855 8,169 8,169 77,5278945 77,4870495 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-05 9,4065 9,4015 8,058 8,058 75,797577 75,757287 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-07 9,4255 9,4205 8,105 8,105 76,3936775 76,3531525 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-08 9,3965 9,3915 8,029 8,029 75,4444985 75,4043535 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-12 9,4315 9,4265 7,994 7,994 75,395411 75,355441 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-13 9,4295 9,4245 8,004 8,004 75,473718 75,433698 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-14 9,4365 9,4315 7,932 7,932 74,850318 74,810658 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-15 9,4345 9,4295 7,949 7,949 74,9948405 74,9550955 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-16 9,4765 9,4715 7,924 7,924 75,091786 75,052166 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-19 9,4535 9,4485 7,851 7,851 74,2194285 74,1801735 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-20 9,4015 9,3965 7,862 7,862 73,914593 73,875283 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-21 9,4485 9,4435 7,943 7,943 75,0494355 75,0097205 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-22 9,4365 9,4315 8,029 8,029 75,7656585 75,7255135 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-23 9,4425 9,4375 8,047 8,047 75,9837975 75,9435625 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-27 9,4915 9,4865 7,996 7,996 75,894034 75,854054 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-28 9,4345 9,4295 7,954 7,954 75,042013 75,002243 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-29 9,4115 9,4065 7,963 7,963 74,9437745 74,9039595 534214 Evli-Fondbolag Ab Evli IT EUR 2005-12-30 9,4325 9,4275 7,938 7,938 74,875185 74,835495 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-03 9,0065 9,0015 114,256 114,256 1029,046664 1028,475384 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-04 9,0345 9,0295 114,262 114,262 1032,300039 1031,728729 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-05 9,0615 9,0565 114,283 114,283 1035,5754045 1035,0039895 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-07 9,0615 9,0565 114,297 114,297 1035,7022655 1035,1307805 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-10 9,08619 9,08119 114,32 114,32 1038,7332408 1038,1616408 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-11 9,08619 9,08119 114,345 114,345 1038,96039555 1038,38867055 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-12 9,0455 9,0405 114,358 114,358 1034,425289 1033,853499 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-13 9,0505 9,0455 114,359 114,359 1035,0061295 1034,4343345 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-14 9,0455 9,0405 114,36 114,36 1034,44338 1033,87158 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-17 9,0685 9,0635 114,382 114,382 1037,273167 1036,701257 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-18 9,0585 9,0535 114,393 114,393 1036,2289905 1035,6570255 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-19 9,0225 9,0175 114,396 114,396 1032,13791 1031,56593 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-20 9,0315 9,0265 114,381 114,381 1033,0320015 1032,4600965 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-21 9,0505 9,0455 114,389 114,389 1035,2776445 1034,7056995 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-24 9,0655 9,0605 114,41 114,41 1037,183855 1036,611805 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-25 9,0715 9,0665 114,42 114,42 1037,96103 1037,38893 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-26 9,0885 9,0835 114,435 114,435 1040,0424975 1039,4703225 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-27 9,0675 9,0625 114,443 114,443 1037,7119025 1037,1396875 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-28 9,0955 9,0905 114,453 114,453 1041,0072615 1040,4349965 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-01-31 9,1075 9,1025 114,473 114,473 1042,5628475 1041,9904825 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-01 9,1035 9,0985 114,491 114,491 1042,2688185 1041,6963635 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-02 9,0905 9,0855 114,497 114,497 1040,8349785 1040,2624935 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-03 9,0695 9,0645 114,509 114,509 1038,5393755 1037,9668305 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-04 9,0895 9,0845 114,518 114,518 1040,911361 1040,338771 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-07 9,0755 9,0705 114,537 114,537 1039,4805435 1038,9078585 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-08 9,0895 9,0845 114,539 114,539 1041,1022405 1040,5295455 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-09 9,0695 9,0645 114,546 114,546 1038,874947 1038,302217 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-10 9,0805 9,0755 114,554 114,554 1040,207597 1039,634827 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-11 9,0935 9,0885 114,561 114,561 1041,7604535 1041,1876485 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-14 9,1105 9,1055 114,581 114,581 1043,8902005 1043,3172955 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-15 9,0765 9,0715 114,59 114,59 1040,076135 1039,503185 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-16 9,0705 9,0655 114,596 114,596 1039,443018 1038,870038 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-17 9,0925 9,0875 114,604 114,604 1042,03687 1041,46385 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-18 9,0945 9,0895 114,611 114,611 1042,3297395 1041,7566845 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-21 9,1185 9,1135 114,633 114,633 1045,2810105 1044,7078455 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-22 9,0975 9,0925 114,638 114,638 1042,919205 1042,346015 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-23 9,1045 9,0995 114,65 114,65 1043,830925 1043,257675 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-24 9,0715 9,0665 114,657 114,657 1040,1109755 1039,5376905 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-25 9,0845 9,0795 114,664 114,664 1041,665108 1041,091788 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-02-28 9,0505 9,0455 114,684 114,684 1037,947542 1037,374122 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-01 9,0565 9,0515 114,694 114,694 1038,726211 1038,152741 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-02 9,0645 9,0595 114,738 114,738 1040,042601 1039,468911 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-03 9,0675 9,0625 114,756 114,756 1040,55003 1039,97625 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-04 9,0415 9,0365 114,759 114,759 1037,5934985 1037,0197035 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-07 9,0425 9,0375 114,772 114,772 1037,82581 1037,25195 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-08 9,0345 9,0295 114,78 114,78 1036,97991 1036,40601 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-09 9,0365 9,0315 114,785 114,785 1037,2546525 1036,6807275 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-10 9,0655 9,0605 114,791 114,791 1040,6378105 1040,0638555 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-11 9,0795 9,0745 114,8 114,8 1042,3266 1041,7526 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-14 9,0695 9,0645 114,82 114,82 1041,35999 1040,78589 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-15 9,1035 9,0985 114,832 114,832 1045,373112 1044,798952 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-16 9,0975 9,0925 114,826 114,826 1044,629535 1044,055405 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-17 9,1045 9,0995 114,833 114,833 1045,4970485 1044,9228835 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-18 9,1035 9,0985 114,839 114,839 1045,4368365 1044,8626415 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-21 9,1265 9,1215 114,857 114,857 1048,2424105 1047,6681255 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-22 9,1265 9,1215 114,865 114,865 1048,3154225 1047,7410975 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-23 9,1165 9,1115 114,872 114,872 1047,230588 1046,656228 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-24 9,1135 9,1085 114,866 114,866 1046,831291 1046,256961 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-29 9,1315 9,1265 114,901 114,901 1049,2184815 1048,6439765 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-30 9,1425 9,1375 114,908 114,908 1050,54639 1049,97185 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-03-31 9,1405 9,1355 114,914 114,914 1050,371417 1049,796847 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-01 9,1645 9,1595 114,895 114,895 1052,9552275 1052,3807525 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-04 9,1695 9,1645 114,909 114,909 1053,6580755 1053,0835305 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-05 9,1745 9,1695 114,917 114,917 1054,3060165 1053,7314315 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-06 9,1705 9,1655 114,92 114,92 1053,87386 1053,29926 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-07 9,1505 9,1455 114,927 114,927 1051,6395135 1051,0648785 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-08 9,1625 9,1575 114,932 114,932 1053,06445 1052,48979 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-11 9,1705 9,1655 114,957 114,957 1054,2131685 1053,6383835 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-12 9,1525 9,1475 114,963 114,963 1052,1988575 1051,6240425 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-13 9,1495 9,1445 114,967 114,967 1051,8905665 1051,3157315 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-14 9,1685 9,1635 114,971 114,971 1054,1116135 1053,5367585 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-15 9,1925 9,1875 114,97 114,97 1056,861725 1056,286875 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-18 9,1805 9,1755 114,994 114,994 1055,702417 1055,127447 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-19 9,2035 9,1985 115,002 115,002 1058,420907 1057,845897 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-20 9,1915 9,1865 115,002 115,002 1057,040883 1056,465873 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-21 9,1855 9,1805 115,007 115,007 1056,3967985 1055,8217635 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-22 9,1625 9,1575 115,008 115,008 1053,7608 1053,18576 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-25 9,1685 9,1635 115,022 115,022 1054,579207 1054,004097 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-26 9,1375 9,1325 115,033 115,033 1051,1140375 1050,5388725 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-27 9,1465 9,1415 115,045 115,045 1052,2590925 1051,6838675 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-28 9,1505 9,1455 115,041 115,041 1052,6826705 1052,1074655 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-04-29 9,1705 9,1655 115,044 115,044 1055,011002 1054,435782 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-02 9,1935 9,1885 115,042 115,042 1057,638627 1057,063417 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-03 9,2245 9,2195 115,05 115,05 1061,278725 1060,703475 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-04 9,1915 9,1865 115,057 115,057 1057,5464155 1056,9711305 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-06 9,1715 9,1665 115,066 115,066 1055,327819 1054,752489 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-09 9,1815 9,1765 115,087 115,087 1056,6712905 1056,0958555 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-10 9,1985 9,1935 115,094 115,094 1058,692159 1058,116689 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-11 9,2105 9,2055 115,098 115,098 1060,110129 1059,534639 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-12 9,2315 9,2265 115,103 115,103 1062,5733445 1061,9978295 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-13 9,2045 9,1995 115,108 115,108 1059,511586 1058,936046 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-16 9,2145 9,2095 115,126 115,126 1060,828527 1060,252897 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-17 9,2325 9,2275 115,132 115,132 1062,95619 1062,38053 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-18 9,2095 9,2045 115,137 115,137 1060,3542015 1059,7785165 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-19 9,1905 9,1855 115,141 115,141 1058,2033605 1057,6276555 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-20 9,1955 9,1905 115,145 115,145 1058,8158475 1058,2401225 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-23 9,1805 9,1755 115,16 115,16 1057,22638 1056,65058 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-24 9,1815 9,1765 115,162 115,162 1057,359903 1056,784093 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-25 9,1785 9,1735 115,172 115,172 1057,106202 1056,530342 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-26 9,1945 9,1895 115,182 115,182 1059,040899 1058,464989 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-27 9,1955 9,1905 115,188 115,188 1059,211254 1058,635314 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-30 9,1905 9,1855 115,21 115,21 1058,837505 1058,261455 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-05-31 9,1665 9,1615 115,19 115,19 1055,889135 1055,313185 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-01 9,1455 9,1405 115,177 115,177 1053,3512535 1052,7753685 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-02 9,1565 9,1515 115,186 115,186 1054,700609 1054,124679 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-03 9,1315 9,1265 115,192 115,192 1051,875748 1051,299788 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-07 9,1455 9,1405 115,219 115,219 1053,7353645 1053,1592695 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-08 9,1455 9,1405 115,229 115,229 1053,8268195 1053,2506745 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-09 9,1965 9,1915 115,237 115,237 1059,7770705 1059,2008855 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-10 9,1975 9,1925 115,243 115,243 1059,9474925 1059,3712775 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-13 9,2365 9,2315 115,259 115,259 1064,5897535 1064,0134585 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-14 9,2985 9,2935 115,259 115,259 1071,7358115 1071,1595165 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-15 9,2695 9,2645 115,264 115,264 1068,439648 1067,863328 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-16 9,2695 9,2645 115,251 115,251 1068,3191445 1067,7428895 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-17 9,2695 9,2645 115,253 115,253 1068,3376835 1067,7614185 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-20 9,2255 9,2205 115,273 115,273 1063,4510615 1062,8746965 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-21 9,2725 9,2675 115,283 115,283 1068,9616175 1068,3852025 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-22 9,2615 9,2565 115,294 115,294 1067,795381 1067,218911 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-23 9,3535 9,3485 115,305 115,305 1078,5053175 1077,9287925 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-27 9,3855 9,3805 115,328 115,328 1082,410944 1081,834304 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-28 9,3995 9,3945 115,34 115,34 1084,13833 1083,56163 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-29 9,4215 9,4165 115,345 115,345 1086,7229175 1086,1461925 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-06-30 9,4415 9,4365 115,35 115,35 1089,077025 1088,500275 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-01 9,4595 9,4545 115,348 115,348 1091,134406 1090,557666 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-04 9,4795 9,4745 115,363 115,363 1093,5835585 1093,0067435 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-05 9,4575 9,4525 115,368 115,368 1091,09286 1090,51602 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-06 9,4195 9,4145 115,369 115,369 1086,7182955 1086,1414505 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-07 9,3965 9,3915 115,375 115,375 1084,1211875 1083,5443125 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-08 9,4175 9,4125 115,379 115,379 1086,5817325 1086,0048375 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-11 9,4665 9,4615 115,396 115,396 1092,396234 1091,819254 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-12 9,4645 9,4595 115,398 115,398 1092,184371 1091,607381 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-13 9,3915 9,3865 115,404 115,404 1083,816666 1083,239646 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-14 9,3675 9,3625 115,418 115,418 1081,178115 1080,601025 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-15 9,4055 9,4005 115,425 115,425 1085,6298375 1085,0527125 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-18 9,3895 9,3845 115,437 115,437 1083,8957115 1083,3185265 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-19 9,4425 9,4375 115,445 115,445 1090,0894125 1089,5121875 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-20 9,4265 9,4215 115,458 115,458 1088,364837 1087,787547 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-21 9,4625 9,4575 115,469 115,469 1092,6254125 1092,0480675 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-22 9,4495 9,4445 115,475 115,475 1091,1810125 1090,6036375 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-25 9,4275 9,4225 115,498 115,498 1088,857395 1088,279905 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-26 9,4155 9,4105 115,508 115,508 1087,565574 1086,988034 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-27 9,4725 9,4675 115,509 115,509 1094,1590025 1093,5814575 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-28 9,4515 9,4465 115,517 115,517 1091,8089255 1091,2313405 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-07-29 9,3885 9,3835 115,523 115,523 1084,5876855 1084,0100705 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-01 9,3985 9,3935 115,533 115,533 1085,8369005 1085,2592355 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-02 9,3995 9,3945 115,579 115,579 1086,3848105 1085,8069155 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-03 9,3755 9,3705 115,585 115,585 1083,6671675 1083,0892425 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-04 9,3735 9,3685 115,591 115,591 1083,4922385 1082,9142835 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-05 9,3355 9,3305 115,595 115,595 1079,1371225 1078,5591475 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-08 9,3335 9,3285 115,612 115,612 1079,064602 1078,486542 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-09 9,3455 9,3405 115,619 115,619 1080,5173645 1079,9392695 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-10 9,3535 9,3485 115,625 115,625 1081,4984375 1080,9203125 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-11 9,3365 9,3315 115,631 115,631 1079,5888315 1079,0106765 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-12 9,3025 9,2975 115,637 115,637 1075,7131925 1075,1350075 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-15 9,3065 9,3015 115,662 115,662 1076,408403 1075,830093 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-16 9,2995 9,2945 115,67 115,67 1075,673165 1075,094815 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-17 9,3405 9,3355 115,68 115,68 1080,50904 1079,93064 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-18 9,3365 9,3315 115,687 115,687 1080,1116755 1079,5332405 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-19 9,3395 9,3345 115,696 115,696 1080,542792 1079,964312 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-22 9,3655 9,3605 115,713 115,713 1083,7101015 1083,1315365 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-23 9,3715 9,3665 115,72 115,72 1084,46998 1083,89138 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-24 9,3365 9,3315 115,726 115,726 1080,475799 1079,897169 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-25 9,3335 9,3285 115,741 115,741 1080,2686235 1079,6899185 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-26 9,3415 9,3365 115,752 115,752 1081,297308 1080,718548 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-29 9,3295 9,3245 115,769 115,769 1080,0668855 1079,4880405 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-30 9,3285 9,3235 115,776 115,776 1080,016416 1079,437536 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-08-31 9,3585 9,3535 115,781 115,781 1083,5364885 1082,9575835 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-01 9,3365 9,3315 115,787 115,787 1081,0453255 1080,4663905 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-02 9,3025 9,2975 115,8 115,8 1077,2295 1076,6505 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-05 9,2845 9,2795 115,82 115,82 1075,33079 1074,75169 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-06 9,3225 9,3175 115,828 115,828 1079,80653 1079,22739 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-07 9,3075 9,3025 115,832 115,832 1078,10634 1077,52718 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-08 9,3255 9,3205 115,838 115,838 1080,247269 1079,668079 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-09 9,3445 9,3395 115,844 115,844 1082,504258 1081,925038 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-12 9,3015 9,2965 115,862 115,862 1077,690393 1077,111083 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-13 9,3015 9,2965 115,865 115,865 1077,7182975 1077,1389725 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-14 9,3365 9,3315 115,871 115,871 1081,8295915 1081,2502365 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-15 9,3425 9,3375 115,879 115,879 1082,5995575 1082,0201625 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-16 9,3465 9,3415 115,883 115,883 1083,1004595 1082,5210445 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-19 9,3355 9,3305 115,901 115,901 1081,9937855 1081,4142805 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-20 9,3395 9,3345 115,912 115,912 1082,560124 1081,980564 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-21 9,3405 9,3355 115,92 115,92 1082,75076 1082,17116 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-22 9,3405 9,3355 115,929 115,929 1082,8348245 1082,2551795 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-23 9,3695 9,3645 115,936 115,936 1086,262352 1085,682672 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-26 9,3815 9,3765 115,95 115,95 1087,784925 1087,205175 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-27 9,3885 9,3835 115,954 115,954 1088,634129 1088,054359 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-28 9,3935 9,3885 115,96 115,96 1089,27026 1088,69046 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-29 9,3845 9,3795 115,965 115,965 1088,2735425 1087,6937175 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-09-30 9,3435 9,3385 115,968 115,968 1083,547008 1082,967168 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-03 9,3025 9,2975 115,987 115,987 1078,9690675 1078,3891325 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-04 9,3185 9,3135 116,008 116,008 1081,020548 1080,440508 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-05 9,3105 9,3055 116,016 116,016 1080,166968 1079,586888 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-06 9,3015 9,2965 116,021 116,021 1079,1693315 1078,5892265 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-07 9,3385 9,3335 116,025 116,025 1083,4994625 1082,9193375 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-10 9,3465 9,3415 116,043 116,043 1084,5958995 1084,0156845 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-11 9,3395 9,3345 116,049 116,049 1083,8396355 1083,2593905 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-12 9,3375 9,3325 116,054 116,054 1083,654225 1083,073955 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-13 9,3815 9,3765 116,061 116,061 1088,8262715 1088,2459665 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-14 9,4135 9,4085 116,065 116,065 1092,5778775 1091,9975525 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-17 9,4575 9,4525 116,086 116,086 1097,883345 1097,302915 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-18 9,4625 9,4575 116,089 116,089 1098,4921625 1097,9117175 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-19 9,4605 9,4555 116,097 116,097 1098,3356685 1097,7551835 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-20 9,4935 9,4885 116,105 116,105 1102,2428175 1101,6622925 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-21 9,4915 9,4865 116,111 116,111 1102,0675565 1101,4870015 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-24 9,5455 9,5405 116,133 116,133 1108,5475515 1107,9668865 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-25 9,5465 9,5415 116,141 116,141 1108,7400565 1108,1593515 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-26 9,4975 9,4925 116,142 116,142 1103,058645 1102,477935 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-27 9,5355 9,5305 116,144 116,144 1107,491112 1106,910392 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-28 9,5135 9,5085 116,148 116,148 1104,973998 1104,393258 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-10-31 9,5495 9,5445 116,164 116,164 1109,308118 1108,727298 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-01 9,5495 9,5445 116,153 116,153 1109,2030735 1108,6223085 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-02 9,5855 9,5805 116,155 116,155 1113,4037525 1112,8229775 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-03 9,6515 9,6465 116,162 116,162 1121,137543 1120,556733 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-04 9,5875 9,5825 116,166 116,166 1113,741525 1113,160695 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-07 9,6075 9,6025 116,184 116,184 1116,23778 1115,65686 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-08 9,5685 9,5635 116,188 116,188 1111,744878 1111,163938 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-09 9,5575 9,5525 116,193 116,193 1110,5145975 1109,9336325 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-10 9,6105 9,6055 116,195 116,195 1116,6920475 1116,1110725 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-11 9,6365 9,6315 116,203 116,203 1119,7902095 1119,2091945 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-14 9,5505 9,5455 116,222 116,222 1109,978211 1109,397101 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-15 9,5805 9,5755 116,227 116,227 1113,5127735 1112,9316385 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-16 9,6235 9,6185 116,233 116,233 1118,5682755 1117,9871105 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-17 9,6355 9,6305 116,246 116,246 1120,088333 1119,507103 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-18 9,6085 9,6035 116,248 116,248 1116,968908 1116,387668 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-21 9,5915 9,5865 116,253 116,253 1115,0406495 1114,4593845 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-22 9,5585 9,5535 116,259 116,259 1111,2616515 1110,6803565 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-23 9,5155 9,5105 116,264 116,264 1106,310092 1105,728772 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-24 9,5125 9,5075 116,27 116,27 1106,018375 1105,437025 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-25 9,4965 9,4915 116,282 116,282 1104,272013 1103,690603 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-28 9,4835 9,4785 116,301 116,301 1102,9405335 1102,3590285 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-29 9,4785 9,4735 116,307 116,307 1102,4158995 1101,8343645 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-11-30 9,5295 9,5245 116,314 116,314 1108,414263 1107,832693 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-01 9,5165 9,5115 116,32 116,32 1106,95928 1106,37768 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-02 9,4905 9,4855 116,33 116,33 1104,029865 1103,448215 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-05 9,4065 9,4015 116,354 116,354 1094,483901 1093,902131 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-07 9,4255 9,4205 116,366 116,366 1096,807733 1096,225903 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-08 9,3965 9,3915 116,372 116,372 1093,489498 1092,907638 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-12 9,4315 9,4265 116,395 116,395 1097,7794425 1097,1974675 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-13 9,4295 9,4245 116,401 116,401 1097,6032295 1097,0212245 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-14 9,4365 9,4315 116,413 116,413 1098,5312745 1097,9492095 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-15 9,4345 9,4295 116,419 116,419 1098,3550555 1097,7729605 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-16 9,4765 9,4715 116,431 116,431 1103,3583715 1102,7762165 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-19 9,4535 9,4485 116,448 116,448 1100,841168 1100,258928 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-20 9,4015 9,3965 116,456 116,456 1094,861084 1094,278804 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-21 9,4485 9,4435 116,461 116,461 1100,3817585 1099,7994535 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-22 9,4365 9,4315 116,465 116,465 1099,0219725 1098,4396475 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-23 9,4425 9,4375 116,471 116,471 1099,7774175 1099,1950625 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-27 9,4915 9,4865 116,504 116,504 1105,797716 1105,215196 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-28 9,4345 9,4295 116,51 116,51 1099,213595 1098,631045 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-29 9,4115 9,4065 116,518 116,518 1096,609157 1096,026567 585802 Evli-Fondbolag Ab Evli Money Manager+ EUR 2005-12-30 9,4325 9,4275 116,523 116,523 1099,1031975 1098,5205825 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-03 9,0065 9,0015 32,884 32,884 296,169746 296,005326 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-04 9,0345 9,0295 32,901 32,901 297,2440845 297,0795795 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-05 9,0615 9,0565 32,644 32,644 295,803606 295,640386 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-07 9,0615 9,0565 32,829 32,829 297,4799835 297,3158385 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-10 9,08619 9,08119 32,906 32,906 298,99016814 298,82563814 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-11 9,08619 9,08119 32,697 32,697 297,09115443 296,92766943 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-12 9,0455 9,0405 32,336 32,336 292,495288 292,333608 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-13 9,0505 9,0455 32,421 32,421 293,4262605 293,2641555 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-14 9,0455 9,0405 32,322 32,322 292,368651 292,207041 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-17 9,0685 9,0635 32,567 32,567 295,3338395 295,1710045 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-18 9,0585 9,0535 32,495 32,495 294,3559575 294,1934825 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-19 9,0225 9,0175 32,487 32,487 293,1139575 292,9515225 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-20 9,0315 9,0265 31,958 31,958 288,628677 288,468887 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-21 9,0505 9,0455 31,791 31,791 287,7244455 287,5654905 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-24 9,0655 9,0605 31,695 31,695 287,3310225 287,1725475 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-25 9,0715 9,0665 31,95 31,95 289,834425 289,674675 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-26 9,0885 9,0835 32,054 32,054 291,322779 291,162509 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-27 9,0675 9,0625 32,213 32,213 292,0913775 291,9303125 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-28 9,0955 9,0905 32,122 32,122 292,165651 292,005041 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-01-31 9,1075 9,1025 32,229 32,229 293,5256175 293,3644725 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-01 9,1035 9,0985 32,602 32,602 296,792307 296,629297 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-02 9,0905 9,0855 32,779 32,779 297,9774995 297,8136045 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-03 9,0695 9,0645 32,727 32,727 296,8175265 296,6538915 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-04 9,0895 9,0845 33,119 33,119 301,0351505 300,8695555 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-07 9,0755 9,0705 33,762 33,762 306,407031 306,238221 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-08 9,0895 9,0845 33,647 33,647 305,8344065 305,6661715 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-09 9,0695 9,0645 33,929 33,929 307,7190655 307,5494205 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-10 9,0805 9,0755 33,222 33,222 301,672371 301,506261 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-11 9,0935 9,0885 33,462 33,462 304,286697 304,119387 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-14 9,1105 9,1055 33,541 33,541 305,5752805 305,4075755 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-15 9,0765 9,0715 33,662 33,662 305,533143 305,364833 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-16 9,0705 9,0655 33,162 33,162 300,795921 300,630111 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-17 9,0925 9,0875 33,085 33,085 300,8253625 300,6599375 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-18 9,0945 9,0895 32,939 32,939 299,5637355 299,3990405 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-21 9,1185 9,1135 32,824 32,824 299,305644 299,141524 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-22 9,0975 9,0925 32,879 32,879 299,1167025 298,9523075 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-23 9,1045 9,0995 32,776 32,776 298,409092 298,245212 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-24 9,0715 9,0665 33,055 33,055 299,8584325 299,6931575 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-25 9,0845 9,0795 33,533 33,533 304,6305385 304,4628735 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-02-28 9,0505 9,0455 33,439 33,439 302,6396695 302,4724745 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-01 9,0565 9,0515 33,544 33,544 303,791236 303,623516 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-02 9,0645 9,0595 33,756 33,756 305,981262 305,812482 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-03 9,0675 9,0625 33,72 33,72 305,7561 305,5875 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-04 9,0415 9,0365 33,791 33,791 305,5213265 305,3523715 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-07 9,0425 9,0375 33,86 33,86 306,17905 306,00975 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-08 9,0345 9,0295 33,733 33,733 304,7607885 304,5921235 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-09 9,0365 9,0315 33,772 33,772 305,180678 305,011818 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-10 9,0655 9,0605 33,401 33,401 302,7967655 302,6297605 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-11 9,0795 9,0745 33,532 33,532 304,453794 304,286134 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-14 9,0695 9,0645 33,471 33,471 303,5652345 303,3978795 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-15 9,1035 9,0985 33,714 33,714 306,915399 306,746829 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-16 9,0975 9,0925 33,148 33,148 301,56393 301,39819 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-17 9,1045 9,0995 33,279 33,279 302,9886555 302,8222605 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-18 9,1035 9,0985 33,266 33,266 302,837031 302,670701 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-21 9,1265 9,1215 33,018 33,018 301,338777 301,173687 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-22 9,1265 9,1215 33,027 33,027 301,4209155 301,2557805 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-23 9,1165 9,1115 32,963 32,963 300,5071895 300,3423745 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-24 9,1135 9,1085 33,018 33,018 300,909543 300,744453 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-29 9,1315 9,1265 33,115 33,115 302,3896225 302,2240475 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-30 9,1425 9,1375 32,992 32,992 301,62936 301,4644 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-03-31 9,1405 9,1355 33,211 33,211 303,5651455 303,3990905 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-01 9,1645 9,1595 33,305 33,305 305,2236725 305,0571475 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-04 9,1695 9,1645 33,13 33,13 303,785535 303,619885 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-05 9,1745 9,1695 33,514 33,514 307,474193 307,306623 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-06 9,1705 9,1655 33,611 33,611 308,2296755 308,0616205 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-07 9,1505 9,1455 33,816 33,816 309,433308 309,264228 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-08 9,1625 9,1575 34,149 34,149 312,8902125 312,7194675 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-11 9,1705 9,1655 34,218 34,218 313,796169 313,625079 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-12 9,1525 9,1475 34,1 34,1 312,10025 311,92975 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-13 9,1495 9,1445 34,124 34,124 312,217538 312,046918 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-14 9,1685 9,1635 34,33 34,33 314,754605 314,582955 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-15 9,1925 9,1875 33,623 33,623 309,0794275 308,9113125 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-18 9,1805 9,1755 33,141 33,141 304,2509505 304,0852455 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-19 9,2035 9,1985 33,191 33,191 305,4733685 305,3074135 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-20 9,1915 9,1865 33,302 33,302 306,095333 305,928823 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-21 9,1855 9,1805 33,667 33,667 309,2482285 309,0798935 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-22 9,1625 9,1575 33,965 33,965 311,2043125 311,0344875 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-25 9,1685 9,1635 33,752 33,752 309,455212 309,286452 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-26 9,1375 9,1325 33,282 33,282 304,114275 303,947865 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-27 9,1465 9,1415 32,254 32,254 295,011211 294,849941 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-28 9,1505 9,1455 32,187 32,187 294,5271435 294,3662085 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-04-29 9,1705 9,1655 32,183 32,183 295,1342015 294,9732865 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-02 9,1935 9,1885 32,253 32,253 296,5179555 296,3566905 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-03 9,2245 9,2195 32,279 32,279 297,7576355 297,5962405 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-04 9,1915 9,1865 32,286 32,286 296,756769 296,595339 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-06 9,1715 9,1665 32,757 32,757 300,4308255 300,2670405 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-09 9,1815 9,1765 32,94 32,94 302,43861 302,27391 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-10 9,1985 9,1935 32,699 32,699 300,7817515 300,6182565 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-11 9,2105 9,2055 32,714 32,714 301,312297 301,148727 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-12 9,2315 9,2265 33,003 33,003 304,6671945 304,5021795 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-13 9,2045 9,1995 33,145 33,145 305,0831525 304,9174275 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-16 9,2145 9,2095 33,101 33,101 305,0091645 304,8436595 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-17 9,2325 9,2275 33,104 33,104 305,63268 305,46716 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-18 9,2095 9,2045 33,324 33,324 306,897378 306,730758 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-19 9,1905 9,1855 33,591 33,591 308,7180855 308,5501305 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-20 9,1955 9,1905 33,752 33,752 310,366516 310,197756 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-23 9,1805 9,1755 33,827 33,827 310,5487735 310,3796385 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-24 9,1815 9,1765 33,695 33,695 309,3706425 309,2021675 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-25 9,1785 9,1735 33,417 33,417 306,7179345 306,5508495 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-26 9,1945 9,1895 33,677 33,677 309,6431765 309,4747915 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-27 9,1955 9,1905 33,811 33,811 310,9090505 310,7399955 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-30 9,1905 9,1855 33,968 33,968 312,182904 312,013064 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-05-31 9,1665 9,1615 33,933 33,933 311,0468445 310,8771795 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-01 9,1455 9,1405 33,967 33,967 310,6451985 310,4753635 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-02 9,1565 9,1515 33,89 33,89 310,313785 310,144335 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-03 9,1315 9,1265 33,986 33,986 310,343159 310,173229 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-07 9,1455 9,1405 34,095 34,095 311,8158225 311,6453475 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-08 9,1455 9,1405 34,136 34,136 312,190788 312,020108 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-09 9,1965 9,1915 34,019 34,019 312,8557335 312,6856385 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-10 9,1975 9,1925 34,392 34,392 316,32042 316,14846 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-13 9,2365 9,2315 34,513 34,513 318,7793245 318,6067595 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-14 9,2985 9,2935 34,718 34,718 322,825323 322,651733 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-15 9,2695 9,2645 34,722 34,722 321,855579 321,681969 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-16 9,2695 9,2645 34,724 34,724 321,874118 321,700498 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-17 9,2695 9,2645 34,737 34,737 321,9946215 321,8209365 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-20 9,2255 9,2205 34,667 34,667 319,8204085 319,6470735 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-21 9,2725 9,2675 34,887 34,887 323,4897075 323,3152725 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-22 9,2615 9,2565 34,943 34,943 323,6245945 323,4498795 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-23 9,3535 9,3485 34,994 34,994 327,316379 327,141409 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-27 9,3855 9,3805 34,309 34,309 322,0071195 321,8355745 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-28 9,3995 9,3945 34,293 34,293 322,3370535 322,1655885 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-29 9,4215 9,4165 34,515 34,515 325,1830725 325,0104975 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-06-30 9,4415 9,4365 34,472 34,472 325,467388 325,295028 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-01 9,4595 9,4545 34,575 34,575 327,0622125 326,8893375 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-04 9,4795 9,4745 34,707 34,707 329,0050065 328,8314715 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-05 9,4575 9,4525 34,754 34,754 328,685955 328,512185 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-06 9,4195 9,4145 34,923 34,923 328,9571985 328,7825835 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-07 9,3965 9,3915 34,343 34,343 322,7039995 322,5322845 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-08 9,4175 9,4125 35,007 35,007 329,6784225 329,5033875 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-11 9,4665 9,4615 35,411 35,411 335,2182315 335,0411765 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-12 9,4645 9,4595 35,458 35,458 335,592241 335,414951 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-13 9,3915 9,3865 35,717 35,717 335,4362055 335,2576205 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-14 9,3675 9,3625 35,625 35,625 333,7171875 333,5390625 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-15 9,4055 9,4005 35,358 35,358 332,559669 332,382879 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-18 9,3895 9,3845 35,296 35,296 331,411792 331,235312 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-19 9,4425 9,4375 35,314 35,314 333,452445 333,275875 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-20 9,4265 9,4215 35,144 35,144 331,284916 331,109196 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-21 9,4625 9,4575 34,7 34,7 328,34875 328,17525 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-22 9,4495 9,4445 35,021 35,021 330,9309395 330,7558345 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-25 9,4275 9,4225 35,032 35,032 330,26418 330,08902 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-26 9,4155 9,4105 35,397 35,397 333,2804535 333,1034685 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-27 9,4725 9,4675 35,323 35,323 334,5971175 334,4205025 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-28 9,4515 9,4465 35,567 35,567 336,1615005 335,9836655 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-07-29 9,3885 9,3835 35,641 35,641 334,6155285 334,4373235 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-01 9,3985 9,3935 35,624 35,624 334,812164 334,634044 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-02 9,3995 9,3945 35,844 35,844 336,915678 336,736458 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-03 9,3755 9,3705 35,851 35,851 336,1210505 335,9417955 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-04 9,3735 9,3685 35,552 35,552 333,246672 333,068912 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-05 9,3355 9,3305 35,373 35,373 330,2246415 330,0477765 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-08 9,3335 9,3285 35,403 35,403 330,4339005 330,2568855 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-09 9,3455 9,3405 35,526 35,526 332,008233 331,830603 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-10 9,3535 9,3485 35,656 35,656 333,508396 333,330116 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-11 9,3365 9,3315 35,578 35,578 332,173997 331,996107 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-12 9,3025 9,2975 35,326 35,326 328,620115 328,443485 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-15 9,3065 9,3015 35,397 35,397 329,4221805 329,2451955 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-16 9,2995 9,2945 35,313 35,313 328,3932435 328,2166785 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-17 9,3405 9,3355 35,582 35,582 332,353671 332,175761 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-18 9,3365 9,3315 35,748 35,748 333,761202 333,582462 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-19 9,3395 9,3345 36,079 36,079 336,9598205 336,7794255 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-22 9,3655 9,3605 36,153 36,153 338,5909215 338,4101565 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-23 9,3715 9,3665 36,058 36,058 337,917547 337,737257 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-24 9,3365 9,3315 35,799 35,799 334,2373635 334,0583685 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-25 9,3335 9,3285 35,632 35,632 332,571272 332,393112 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-26 9,3415 9,3365 35,703 35,703 333,5195745 333,3410595 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-29 9,3295 9,3245 35,812 35,812 334,108054 333,928994 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-30 9,3285 9,3235 35,838 35,838 334,314783 334,135593 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-08-31 9,3585 9,3535 35,91 35,91 336,063735 335,884185 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-01 9,3365 9,3315 35,906 35,906 335,236369 335,056839 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-02 9,3025 9,2975 35,968 35,968 334,59232 334,41248 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-05 9,2845 9,2795 35,97 35,97 333,963465 333,783615 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-06 9,3225 9,3175 36,281 36,281 338,2296225 338,0482175 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-07 9,3075 9,3025 36,418 36,418 338,960535 338,778445 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-08 9,3255 9,3205 36,25 36,25 338,049375 337,868125 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-09 9,3445 9,3395 36,457 36,457 340,6724365 340,4901515 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-12 9,3015 9,2965 36,742 36,742 341,755713 341,572003 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-13 9,3015 9,2965 36,731 36,731 341,6533965 341,4697415 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-14 9,3365 9,3315 37,195 37,195 347,2711175 347,0851425 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-15 9,3425 9,3375 37,221 37,221 347,7371925 347,5510875 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-16 9,3465 9,3415 37,279 37,279 348,4281735 348,2417785 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-19 9,3355 9,3305 37,592 37,592 350,940116 350,752156 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-20 9,3395 9,3345 37,771 37,771 352,7622545 352,5733995 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-21 9,3405 9,3355 37,441 37,441 349,7176605 349,5304555 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-22 9,3405 9,3355 37,27 37,27 348,120435 347,934085 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-23 9,3695 9,3645 37,111 37,111 347,7115145 347,5259595 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-26 9,3815 9,3765 37,414 37,414 350,999441 350,812371 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-27 9,3885 9,3835 37,37 37,37 350,848245 350,661395 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-28 9,3935 9,3885 37,679 37,679 353,9376865 353,7492915 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-29 9,3845 9,3795 37,582 37,582 352,688279 352,500369 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-09-30 9,3435 9,3385 37,732 37,732 352,548942 352,360282 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-03 9,3025 9,2975 37,973 37,973 353,2438325 353,0539675 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-04 9,3185 9,3135 37,88 37,88 352,98478 352,79538 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-05 9,3105 9,3055 37,665 37,665 350,6799825 350,4916575 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-06 9,3015 9,2965 37,182 37,182 345,848373 345,662463 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-07 9,3385 9,3335 37,221 37,221 347,5883085 347,4022035 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-10 9,3465 9,3415 37,367 37,367 349,2506655 349,0638305 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-11 9,3395 9,3345 37,453 37,453 349,7922935 349,6050285 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-12 9,3375 9,3325 37,207 37,207 347,4203625 347,2343275 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-13 9,3815 9,3765 36,273 36,273 340,2951495 340,1137845 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-14 9,4135 9,4085 36,052 36,052 339,375502 339,195242 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-17 9,4575 9,4525 36,175 36,175 342,1250625 341,9441875 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-18 9,4625 9,4575 36,032 36,032 340,9528 340,77264 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-19 9,4605 9,4555 35,39 35,39 334,807095 334,630145 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-20 9,4935 9,4885 35,216 35,216 334,323096 334,147016 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-21 9,4915 9,4865 34,631 34,631 328,7001365 328,5269815 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-24 9,5455 9,5405 35,356 35,356 337,490698 337,313918 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-25 9,5465 9,5415 35,642 35,642 340,256353 340,078143 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-26 9,4975 9,4925 35,999 35,999 341,9005025 341,7205075 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-27 9,5355 9,5305 35,722 35,722 340,627131 340,448521 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-28 9,5135 9,5085 35,693 35,693 339,5653555 339,3868905 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-10-31 9,5495 9,5445 36,588 36,588 349,397106 349,214166 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-01 9,5495 9,5445 36,558 36,558 349,110621 348,927831 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-02 9,5855 9,5805 36,644 36,644 351,251062 351,067842 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-03 9,6515 9,6465 37,037 37,037 357,4626055 357,2774205 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-04 9,5875 9,5825 37,096 37,096 355,6579 355,47242 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-07 9,6075 9,6025 37,102 37,102 356,457465 356,271955 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-08 9,5685 9,5635 37,028 37,028 354,302418 354,117278 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-09 9,5575 9,5525 37,139 37,139 354,9559925 354,7702975 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-10 9,6105 9,6055 37,269 37,269 358,1737245 357,9873795 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-11 9,6365 9,6315 37,514 37,514 361,503661 361,316091 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-14 9,5505 9,5455 37,489 37,489 358,0386945 357,8512495 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-15 9,5805 9,5755 37,107 37,107 355,5036135 355,3180785 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-16 9,6235 9,6185 36,985 36,985 355,9251475 355,7402225 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-17 9,6355 9,6305 37,253 37,253 358,9512815 358,7650165 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-18 9,6085 9,6035 37,302 37,302 358,416267 358,229757 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-21 9,5915 9,5865 37,278 37,278 357,551937 357,365547 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-22 9,5585 9,5535 37,276 37,276 356,302646 356,116266 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-23 9,5155 9,5105 37,519 37,519 357,0120445 356,8244495 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-24 9,5125 9,5075 37,549 37,549 357,1848625 356,9971175 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-25 9,4965 9,4915 37,865 37,865 359,5849725 359,3956475 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-28 9,4835 9,4785 37,644 37,644 356,996874 356,808654 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-29 9,4785 9,4735 37,807 37,807 358,3536495 358,1646145 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-11-30 9,5295 9,5245 37,868 37,868 360,863106 360,673766 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-01 9,5165 9,5115 38,19 38,19 363,435135 363,244185 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-02 9,4905 9,4855 38,426 38,426 364,681953 364,489823 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-05 9,4065 9,4015 38,261 38,261 359,9020965 359,7107915 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-07 9,4255 9,4205 38,771 38,771 365,4360605 365,2422055 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-08 9,3965 9,3915 38,772 38,772 364,321098 364,127238 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-12 9,4315 9,4265 38,697 38,697 364,9707555 364,7772705 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-13 9,4295 9,4245 38,783 38,783 365,7042985 365,5103835 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-14 9,4365 9,4315 39,03 39,03 368,306595 368,111445 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-15 9,4345 9,4295 38,9 38,9 367,00205 366,80755 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-16 9,4765 9,4715 38,656 38,656 366,323584 366,130304 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-19 9,4535 9,4485 38,401 38,401 363,0238535 362,8318485 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-20 9,4015 9,3965 38,279 38,279 359,8800185 359,6886235 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-21 9,4485 9,4435 38,537 38,537 364,1168445 363,9241595 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-22 9,4365 9,4315 38,697 38,697 365,1642405 364,9707555 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-23 9,4425 9,4375 39,114 39,114 369,333945 369,138375 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-27 9,4915 9,4865 39,054 39,054 370,681041 370,485771 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-28 9,4345 9,4295 39,251 39,251 370,3135595 370,1173045 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-29 9,4115 9,4065 39,357 39,357 370,4084055 370,2116205 157677 Evli-Fondbolag Ab Evli Nordic TMT EUR 2005-12-30 9,4325 9,4275 39,205 39,205 369,8011625 369,6051375 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-03 9,0065 9,0015 13,176 13,176 118,669644 118,603764 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-04 9,0345 9,0295 13,201 13,201 119,2644345 119,1984295 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-05 9,0615 9,0565 13,143 13,143 119,0952945 119,0295795 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-07 9,0615 9,0565 13,205 13,205 119,6571075 119,5910825 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-10 9,08619 9,08119 13,295 13,295 120,80089605 120,73442105 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-11 9,08619 9,08119 13,248 13,248 120,37384512 120,30760512 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-12 9,0455 9,0405 13,222 13,222 119,599601 119,533491 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-13 9,0505 9,0455 13,236 13,236 119,792418 119,726238 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-14 9,0455 9,0405 13,262 13,262 119,961421 119,895111 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-17 9,0685 9,0635 13,302 13,302 120,629187 120,562677 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-18 9,0585 9,0535 13,306 13,306 120,532401 120,465871 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-19 9,0225 9,0175 13,331 13,331 120,2789475 120,2122925 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-20 9,0315 9,0265 13,184 13,184 119,071296 119,005376 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-21 9,0505 9,0455 13,228 13,228 119,720014 119,653874 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-24 9,0655 9,0605 13,17 13,17 119,392635 119,326785 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-25 9,0715 9,0665 13,223 13,223 119,9524445 119,8863295 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-26 9,0885 9,0835 13,25 13,25 120,422625 120,356375 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-27 9,0675 9,0625 13,376 13,376 121,28688 121,22 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-28 9,0955 9,0905 13,366 13,366 121,570453 121,503623 570044 Evli-Fondbolag Ab Evli Select EUR 2005-01-31 9,1075 9,1025 13,364 13,364 121,71263 121,64581 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-01 9,1035 9,0985 13,464 13,464 122,569524 122,502204 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-02 9,0905 9,0855 13,692 13,692 124,467126 124,398666 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-03 9,0695 9,0645 13,77 13,77 124,887015 124,818165 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-04 9,0895 9,0845 13,834 13,834 125,744143 125,674973 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-07 9,0755 9,0705 14,017 14,017 127,2112835 127,1411985 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-08 9,0895 9,0845 14,091 14,091 128,0801445 128,0096895 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-09 9,0695 9,0645 14,087 14,087 127,7620465 127,6916115 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-10 9,0805 9,0755 13,944 13,944 126,618492 126,548772 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-11 9,0935 9,0885 13,989 13,989 127,2089715 127,1390265 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-14 9,1105 9,1055 14,003 14,003 127,5743315 127,5043165 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-15 9,0765 9,0715 14,127 14,127 128,2237155 128,1530805 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-16 9,0705 9,0655 14,186 14,186 128,674113 128,603183 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-17 9,0925 9,0875 14,284 14,284 129,87727 129,80585 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-18 9,0945 9,0895 14,305 14,305 130,0968225 130,0252975 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-21 9,1185 9,1135 14,268 14,268 130,102758 130,031418 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-22 9,0975 9,0925 14,165 14,165 128,8660875 128,7952625 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-23 9,1045 9,0995 14,169 14,169 129,0016605 128,9308155 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-24 9,0715 9,0665 14,245 14,245 129,2235175 129,1522925 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-25 9,0845 9,0795 14,314 14,314 130,035533 129,963963 570044 Evli-Fondbolag Ab Evli Select EUR 2005-02-28 9,0505 9,0455 14,35 14,35 129,874675 129,802925 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-01 9,0565 9,0515 14,316 14,316 129,652854 129,581274 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-02 9,0645 9,0595 14,404 14,404 130,565058 130,493038 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-03 9,0675 9,0625 14,422 14,422 130,771485 130,699375 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-04 9,0415 9,0365 14,5 14,5 131,10175 131,02925 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-07 9,0425 9,0375 14,665 14,665 132,6082625 132,5349375 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-08 9,0345 9,0295 14,603 14,603 131,9308035 131,8577885 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-09 9,0365 9,0315 14,694 14,694 132,782331 132,708861 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-10 9,0655 9,0605 14,594 14,594 132,301907 132,228937 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-11 9,0795 9,0745 14,594 14,594 132,506223 132,433253 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-14 9,0695 9,0645 14,651 14,651 132,8772445 132,8039895 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-15 9,1035 9,0985 14,654 14,654 133,402689 133,329419 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-16 9,0975 9,0925 14,663 14,663 133,3966425 133,3233275 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-17 9,1045 9,0995 14,504 14,504 132,051668 131,979148 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-18 9,1035 9,0985 14,492 14,492 131,927922 131,855462 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-21 9,1265 9,1215 14,468 14,468 132,042202 131,969862 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-22 9,1265 9,1215 14,491 14,491 132,2521115 132,1796565 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-23 9,1165 9,1115 14,355 14,355 130,8673575 130,7955825 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-24 9,1135 9,1085 14,384 14,384 131,088584 131,016664 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-29 9,1315 9,1265 14,454 14,454 131,986701 131,914431 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-30 9,1425 9,1375 14,431 14,431 131,9354175 131,8632625 570044 Evli-Fondbolag Ab Evli Select EUR 2005-03-31 9,1405 9,1355 14,558 14,558 133,067399 132,994609 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-01 9,1645 9,1595 14,586 14,586 133,673397 133,600467 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-04 9,1695 9,1645 14,517 14,517 133,1136315 133,0410465 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-05 9,1745 9,1695 14,624 14,624 134,167888 134,094768 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-06 9,1705 9,1655 14,744 14,744 135,209852 135,136132 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-07 9,1505 9,1455 14,876 14,876 136,122838 136,048458 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-08 9,1625 9,1575 15,014 15,014 137,565775 137,490705 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-11 9,1705 9,1655 14,959 14,959 137,1815095 137,1067145 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-12 9,1525 9,1475 15,012 15,012 137,39733 137,32227 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-13 9,1495 9,1445 15,055 15,055 137,7457225 137,6704475 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-14 9,1685 9,1635 15,047 15,047 137,9584195 137,8831845 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-15 9,1925 9,1875 14,803 14,803 136,0765775 136,0025625 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-18 9,1805 9,1755 14,612 14,612 134,145466 134,072406 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-19 9,2035 9,1985 14,708 14,708 135,365078 135,291538 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-20 9,1915 9,1865 14,805 14,805 136,0801575 136,0061325 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-21 9,1855 9,1805 14,791 14,791 135,8627305 135,7887755 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-22 9,1625 9,1575 14,901 14,901 136,5304125 136,4559075 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-25 9,1685 9,1635 14,897 14,897 136,5831445 136,5086595 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-26 9,1375 9,1325 14,877 14,877 135,9385875 135,8642025 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-27 9,1465 9,1415 14,705 14,705 134,4992825 134,4257575 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-28 9,1505 9,1455 14,605 14,605 133,6430525 133,5700275 570044 Evli-Fondbolag Ab Evli Select EUR 2005-04-29 9,1705 9,1655 14,556 14,556 133,485798 133,413018 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-02 9,1935 9,1885 14,592 14,592 134,151552 134,078592 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-03 9,2245 9,2195 14,562 14,562 134,327169 134,254359 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-04 9,1915 9,1865 14,595 14,595 134,1499425 134,0769675 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-06 9,1715 9,1665 14,636 14,636 134,234074 134,160894 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-09 9,1815 9,1765 14,697 14,697 134,9405055 134,8670205 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-10 9,1985 9,1935 14,687 14,687 135,0983695 135,0249345 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-11 9,2105 9,2055 14,65 14,65 134,933825 134,860575 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-12 9,2315 9,2265 14,734 14,734 136,016921 135,943251 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-13 9,2045 9,1995 14,773 14,773 135,9780785 135,9042135 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-16 9,2145 9,2095 14,826 14,826 136,614177 136,540047 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-17 9,2325 9,2275 14,816 14,816 136,78872 136,71464 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-18 9,2095 9,2045 14,984 14,984 137,995148 137,920228 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-19 9,1905 9,1855 15,031 15,031 138,1424055 138,0672505 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-20 9,1955 9,1905 15,043 15,043 138,3279065 138,2526915 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-23 9,1805 9,1755 15,141 15,141 139,0019505 138,9262455 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-24 9,1815 9,1765 15,127 15,127 138,8885505 138,8129155 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-25 9,1785 9,1735 15,182 15,182 139,347987 139,272077 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-26 9,1945 9,1895 15,19 15,19 139,664455 139,588505 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-27 9,1955 9,1905 15,222 15,222 139,973901 139,897791 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-30 9,1905 9,1855 15,281 15,281 140,4400305 140,3636255 570044 Evli-Fondbolag Ab Evli Select EUR 2005-05-31 9,1665 9,1615 15,318 15,318 140,412447 140,335857 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-01 9,1455 9,1405 15,402 15,402 140,858991 140,781981 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-02 9,1565 9,1515 15,473 15,473 141,6785245 141,6011595 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-03 9,1315 9,1265 15,494 15,494 141,483461 141,405991 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-07 9,1455 9,1405 15,509 15,509 141,8375595 141,7600145 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-08 9,1455 9,1405 15,6 15,6 142,6698 142,5918 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-09 9,1965 9,1915 15,6 15,6 143,4654 143,3874 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-10 9,1975 9,1925 15,728 15,728 144,65828 144,57964 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-13 9,2365 9,2315 15,827 15,827 146,1860855 146,1069505 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-14 9,2985 9,2935 15,829 15,829 147,1859565 147,1068115 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-15 9,2695 9,2645 15,87 15,87 147,106965 147,027615 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-16 9,2695 9,2645 15,904 15,904 147,422128 147,342608 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-17 9,2695 9,2645 15,943 15,943 147,7836385 147,7039235 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-20 9,2255 9,2205 15,941 15,941 147,0636955 146,9839905 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-21 9,2725 9,2675 15,995 15,995 148,3136375 148,2336625 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-22 9,2615 9,2565 16,103 16,103 149,1379345 149,0574195 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-23 9,3535 9,3485 16,156 16,156 151,115146 151,034366 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-27 9,3855 9,3805 15,928 15,928 149,492244 149,412604 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-28 9,3995 9,3945 15,965 15,965 150,0630175 149,9831925 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-29 9,4215 9,4165 15,995 15,995 150,6968925 150,6169175 570044 Evli-Fondbolag Ab Evli Select EUR 2005-06-30 9,4415 9,4365 15,997 15,997 151,0356755 150,9556905 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-01 9,4595 9,4545 16,013 16,013 151,4749735 151,3949085 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-04 9,4795 9,4745 16,095 16,095 152,5725525 152,4920775 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-05 9,4575 9,4525 16,093 16,093 152,1995475 152,1190825 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-06 9,4195 9,4145 16,156 16,156 152,181442 152,100662 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-07 9,3965 9,3915 15,975 15,975 150,1090875 150,0292125 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-08 9,4175 9,4125 16,211 16,211 152,6670925 152,5860375 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-11 9,4665 9,4615 16,29 16,29 154,209285 154,127835 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-12 9,4645 9,4595 16,276 16,276 154,044202 153,962822 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-13 9,3915 9,3865 16,292 16,292 153,006318 152,924858 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-14 9,3675 9,3625 16,338 16,338 153,046215 152,964525 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-15 9,4055 9,4005 16,323 16,323 153,5259765 153,4443615 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-18 9,3895 9,3845 16,362 16,362 153,630999 153,549189 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-19 9,4425 9,4375 16,359 16,359 154,4698575 154,3880625 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-20 9,4265 9,4215 16,448 16,448 155,047072 154,964832 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-21 9,4625 9,4575 16,298 16,298 154,219825 154,138335 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-22 9,4495 9,4445 16,296 16,296 153,989052 153,907572 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-25 9,4275 9,4225 16,284 16,284 153,51741 153,43599 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-26 9,4155 9,4105 16,289 16,289 153,3690795 153,2876345 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-27 9,4725 9,4675 16,374 16,374 155,102715 155,020845 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-28 9,4515 9,4465 16,549 16,549 156,4128735 156,3301285 570044 Evli-Fondbolag Ab Evli Select EUR 2005-07-29 9,3885 9,3835 16,568 16,568 155,548668 155,465828 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-01 9,3985 9,3935 16,548 16,548 155,526378 155,443638 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-02 9,3995 9,3945 16,62 16,62 156,21969 156,13659 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-03 9,3755 9,3705 16,727 16,727 156,8239885 156,7403535 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-04 9,3735 9,3685 16,771 16,771 157,2029685 157,1191135 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-05 9,3355 9,3305 16,668 16,668 155,604114 155,520774 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-08 9,3335 9,3285 16,714 16,714 156,000119 155,916549 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-09 9,3455 9,3405 16,726 16,726 156,312833 156,229203 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-10 9,3535 9,3485 16,725 16,725 156,4372875 156,3536625 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-11 9,3365 9,3315 16,686 16,686 155,788839 155,705409 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-12 9,3025 9,2975 16,63 16,63 154,700575 154,617425 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-15 9,3065 9,3015 16,649 16,649 154,9439185 154,8606735 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-16 9,2995 9,2945 16,599 16,599 154,3624005 154,2794055 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-17 9,3405 9,3355 16,544 16,544 154,529232 154,446512 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-18 9,3365 9,3315 16,538 16,538 154,407037 154,324347 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-19 9,3395 9,3345 16,584 16,584 154,886268 154,803348 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-22 9,3655 9,3605 16,66 16,66 156,02923 155,94593 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-23 9,3715 9,3665 16,725 16,725 156,7383375 156,6547125 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-24 9,3365 9,3315 16,613 16,613 155,1072745 155,0242095 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-25 9,3335 9,3285 16,513 16,513 154,1240855 154,0415205 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-26 9,3415 9,3365 16,517 16,517 154,2935555 154,2109705 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-29 9,3295 9,3245 16,376 16,376 152,779892 152,698012 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-30 9,3285 9,3235 16,55 16,55 154,386675 154,303925 570044 Evli-Fondbolag Ab Evli Select EUR 2005-08-31 9,3585 9,3535 16,676 16,676 156,062346 155,978966 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-01 9,3365 9,3315 16,836 16,836 157,189314 157,105134 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-02 9,3025 9,2975 16,854 16,854 156,784335 156,700065 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-05 9,2845 9,2795 16,872 16,872 156,648084 156,563724 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-06 9,3225 9,3175 16,941 16,941 157,9324725 157,8477675 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-07 9,3075 9,3025 17,094 17,094 159,102405 159,016935 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-08 9,3255 9,3205 17,152 17,152 159,950976 159,865216 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-09 9,3445 9,3395 17,146 17,146 160,220797 160,135067 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-12 9,3015 9,2965 17,286 17,286 160,785729 160,699299 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-13 9,3015 9,2965 17,401 17,401 161,8554015 161,7683965 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-14 9,3365 9,3315 17,367 17,367 162,1469955 162,0601605 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-15 9,3425 9,3375 17,436 17,436 162,89583 162,80865 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-16 9,3465 9,3415 17,432 17,432 162,928188 162,841028 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-19 9,3355 9,3305 17,501 17,501 163,3805855 163,2930805 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-20 9,3395 9,3345 17,597 17,597 164,3471815 164,2591965 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-21 9,3405 9,3355 17,603 17,603 164,4208215 164,3328065 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-22 9,3405 9,3355 17,569 17,569 164,1032445 164,0153995 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-23 9,3695 9,3645 17,64 17,64 165,27798 165,18978 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-26 9,3815 9,3765 17,685 17,685 165,9118275 165,8234025 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-27 9,3885 9,3835 17,673 17,673 165,9229605 165,8345955 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-28 9,3935 9,3885 17,628 17,628 165,588618 165,500478 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-29 9,3845 9,3795 17,646 17,646 165,598887 165,510657 570044 Evli-Fondbolag Ab Evli Select EUR 2005-09-30 9,3435 9,3385 17,711 17,711 165,4827285 165,3941735 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-03 9,3025 9,2975 17,798 17,798 165,565895 165,476905 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-04 9,3185 9,3135 17,84 17,84 166,24204 166,15284 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-05 9,3105 9,3055 17,79 17,79 165,633795 165,544845 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-06 9,3015 9,2965 17,456 17,456 162,366984 162,279704 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-07 9,3385 9,3335 17,542 17,542 163,815967 163,728257 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-10 9,3465 9,3415 17,65 17,65 164,965725 164,877475 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-11 9,3395 9,3345 17,483 17,483 163,2824785 163,1950635 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-12 9,3375 9,3325 17,413 17,413 162,5938875 162,5068225 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-13 9,3815 9,3765 17,104 17,104 160,461176 160,375656 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-14 9,4135 9,4085 16,81 16,81 158,240935 158,156885 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-17 9,4575 9,4525 16,936 16,936 160,17222 160,08754 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-18 9,4625 9,4575 17,006 17,006 160,919275 160,834245 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-19 9,4605 9,4555 16,568 16,568 156,741564 156,658724 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-20 9,4935 9,4885 16,624 16,624 157,819944 157,736824 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-21 9,4915 9,4865 16,217 16,217 153,9236555 153,8425705 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-24 9,5455 9,5405 16,363 16,363 156,1930165 156,1112015 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-25 9,5465 9,5415 16,542 16,542 157,918203 157,835493 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-26 9,4975 9,4925 16,572 16,572 157,39257 157,30971 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-27 9,5355 9,5305 16,562 16,562 157,926951 157,844141 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-28 9,5135 9,5085 16,397 16,397 155,9928595 155,9108745 570044 Evli-Fondbolag Ab Evli Select EUR 2005-10-31 9,5495 9,5445 16,62 16,62 158,71269 158,62959 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-01 9,5495 9,5445 16,81 16,81 160,527095 160,443045 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-02 9,5855 9,5805 16,856 16,856 161,573188 161,488908 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-03 9,6515 9,6465 16,824 16,824 162,376836 162,292716 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-04 9,5875 9,5825 16,983 16,983 162,8245125 162,7395975 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-07 9,6075 9,6025 16,926 16,926 162,616545 162,531915 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-08 9,5685 9,5635 17,009 17,009 162,7506165 162,6655715 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-09 9,5575 9,5525 17,012 17,012 162,59219 162,50713 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-10 9,6105 9,6055 17,085 17,085 164,1953925 164,1099675 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-11 9,6365 9,6315 17,071 17,071 164,5046915 164,4193365 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-14 9,5505 9,5455 17,146 17,146 163,752873 163,667143 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-15 9,5805 9,5755 16,961 16,961 162,4948605 162,4100555 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-16 9,6235 9,6185 16,863 16,863 162,2810805 162,1967655 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-17 9,6355 9,6305 16,917 16,917 163,0037535 162,9191685 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-18 9,6085 9,6035 16,981 16,981 163,1619385 163,0770335 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-21 9,5915 9,5865 17,064 17,064 163,669356 163,584036 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-22 9,5585 9,5535 17,085 17,085 163,3069725 163,2215475 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-23 9,5155 9,5105 17,145 17,145 163,1432475 163,0575225 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-24 9,5125 9,5075 17,24 17,24 163,9955 163,9093 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-25 9,4965 9,4915 17,318 17,318 164,460387 164,373797 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-28 9,4835 9,4785 17,316 17,316 164,216286 164,129706 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-29 9,4785 9,4735 17,202 17,202 163,049157 162,963147 570044 Evli-Fondbolag Ab Evli Select EUR 2005-11-30 9,5295 9,5245 17,188 17,188 163,793046 163,707106 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-01 9,5165 9,5115 17,241 17,241 164,0739765 163,9877715 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-02 9,4905 9,4855 17,476 17,476 165,855978 165,768598 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-05 9,4065 9,4015 17,537 17,537 164,9617905 164,8741055 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-07 9,4255 9,4205 17,675 17,675 166,5957125 166,5073375 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-08 9,3965 9,3915 17,664 17,664 165,979776 165,891456 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-12 9,4315 9,4265 17,75 17,75 167,409125 167,320375 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-13 9,4295 9,4245 17,699 17,699 166,8927205 166,8042255 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-14 9,4365 9,4315 17,758 17,758 167,573367 167,484577 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-15 9,4345 9,4295 17,767 17,767 167,6227615 167,5339265 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-16 9,4765 9,4715 17,822 17,822 168,890183 168,801073 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-19 9,4535 9,4485 17,815 17,815 168,4141025 168,3250275 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-20 9,4015 9,3965 17,8 17,8 167,3467 167,2577 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-21 9,4485 9,4435 17,832 17,832 168,485652 168,396492 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-22 9,4365 9,4315 17,807 17,807 168,0357555 167,9467205 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-23 9,4425 9,4375 17,918 17,918 169,190715 169,101125 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-27 9,4915 9,4865 17,948 17,948 170,353442 170,263702 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-28 9,4345 9,4295 17,916 17,916 169,028502 168,938922 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-29 9,4115 9,4065 17,962 17,962 169,049363 168,959553 570044 Evli-Fondbolag Ab Evli Select EUR 2005-12-30 9,4325 9,4275 17,946 17,946 169,275645 169,185915 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-03 9,0065 9,0015 22,33 22,33 201,115145 201,003495 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-04 9,0345 9,0295 22,33 22,33 201,740385 201,628735 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-05 9,0615 9,0565 22,332 22,332 202,361418 202,249758 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-07 9,0615 9,0565 22,319 22,319 202,2436185 202,1320235 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-10 9,08619 9,08119 22,325 22,325 202,84919175 202,73756675 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-11 9,08619 9,08119 22,331 22,331 202,90370889 202,79205389 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-12 9,0455 9,0405 22,335 22,335 202,0312425 201,9195675 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-13 9,0505 9,0455 22,331 22,331 202,1067155 201,9950605 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-14 9,0455 9,0405 22,331 22,331 201,9950605 201,8834055 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-17 9,0685 9,0635 22,332 22,332 202,517742 202,406082 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-18 9,0585 9,0535 22,331 22,331 202,2853635 202,1737085 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-19 9,0225 9,0175 22,332 22,332 201,49047 201,37881 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-20 9,0315 9,0265 22,334 22,334 201,709521 201,597851 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-21 9,0505 9,0455 22,337 22,337 202,1610185 202,0493335 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-24 9,0655 9,0605 22,341 22,341 202,5323355 202,4206305 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-25 9,0715 9,0665 22,345 22,345 202,7026675 202,5909425 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-26 9,0885 9,0835 22,348 22,348 203,109798 202,998058 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-27 9,0675 9,0625 22,351 22,351 202,6676925 202,5559375 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-28 9,0955 9,0905 22,351 22,351 203,2935205 203,1817655 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-01-31 9,1075 9,1025 22,356 22,356 203,60727 203,49549 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-01 9,1035 9,0985 22,358 22,358 203,536053 203,424263 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-02 9,0905 9,0855 22,36 22,36 203,26358 203,15178 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-03 9,0695 9,0645 22,363 22,363 202,8212285 202,7094135 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-04 9,0895 9,0845 22,365 22,365 203,2866675 203,1748425 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-07 9,0755 9,0705 22,37 22,37 203,018935 202,907085 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-08 9,0895 9,0845 22,37 22,37 203,332115 203,220265 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-09 9,0695 9,0645 22,373 22,373 202,9119235 202,8000585 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-10 9,0805 9,0755 22,375 22,375 203,1761875 203,0643125 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-11 9,0935 9,0885 22,377 22,377 203,4852495 203,3733645 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-14 9,1105 9,1055 22,382 22,382 203,911211 203,799301 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-15 9,0765 9,0715 22,385 22,385 203,1774525 203,0655275 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-16 9,0705 9,0655 22,389 22,389 203,0794245 202,9674795 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-17 9,0925 9,0875 22,39 22,39 203,581075 203,469125 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-18 9,0945 9,0895 22,395 22,395 203,6713275 203,5593525 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-21 9,1185 9,1135 22,399 22,399 204,2452815 204,1332865 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-22 9,0975 9,0925 22,4 22,4 203,784 203,672 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-23 9,1045 9,0995 22,401 22,401 203,9499045 203,8378995 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-24 9,0715 9,0665 22,404 22,404 203,237886 203,125866 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-25 9,0845 9,0795 22,405 22,405 203,5382225 203,4261975 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-02-28 9,0505 9,0455 22,412 22,412 202,839806 202,727746 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-01 9,0565 9,0515 22,418 22,418 203,028617 202,916527 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-02 9,0645 9,0595 22,42 22,42 203,22609 203,11399 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-03 9,0675 9,0625 22,421 22,421 203,3024175 203,1903125 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-04 9,0415 9,0365 22,421 22,421 202,7194715 202,6073665 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-07 9,0425 9,0375 22,425 22,425 202,7780625 202,6659375 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-08 9,0345 9,0295 22,427 22,427 202,6167315 202,5045965 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-09 9,0365 9,0315 22,431 22,431 202,6977315 202,5855765 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-10 9,0655 9,0605 22,434 22,434 203,375427 203,263257 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-11 9,0795 9,0745 22,434 22,434 203,689503 203,577333 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-14 9,0695 9,0645 22,436 22,436 203,483302 203,371122 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-15 9,1035 9,0985 22,431 22,431 204,2006085 204,0884535 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-16 9,0975 9,0925 22,428 22,428 204,03873 203,92659 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-17 9,1045 9,0995 22,425 22,425 204,1684125 204,0562875 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-18 9,1035 9,0985 22,426 22,426 204,155091 204,042961 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-21 9,1265 9,1215 22,429 22,429 204,6982685 204,5861235 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-22 9,1265 9,1215 22,425 22,425 204,6617625 204,5496375 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-23 9,1165 9,1115 22,428 22,428 204,464862 204,352722 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-24 9,1135 9,1085 22,43 22,43 204,415805 204,303655 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-29 9,1315 9,1265 22,436 22,436 204,874334 204,762154 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-30 9,1425 9,1375 22,435 22,435 205,1119875 204,9998125 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-03-31 9,1405 9,1355 22,433 22,433 205,0488365 204,9366715 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-01 9,1645 9,1595 22,434 22,434 205,596393 205,484223 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-04 9,1695 9,1645 22,438 22,438 205,745241 205,633051 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-05 9,1745 9,1695 22,439 22,439 205,8666055 205,7544105 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-06 9,1705 9,1655 22,439 22,439 205,7768495 205,6646545 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-07 9,1505 9,1455 22,44 22,44 205,33722 205,22502 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-08 9,1625 9,1575 22,442 22,442 205,624825 205,512615 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-11 9,1705 9,1655 22,446 22,446 205,841043 205,728813 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-12 9,1525 9,1475 22,447 22,447 205,4461675 205,3339325 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-13 9,1495 9,1445 22,445 22,445 205,3605275 205,2483025 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-14 9,1685 9,1635 22,443 22,443 205,7686455 205,6564305 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-15 9,1925 9,1875 22,43 22,43 206,187775 206,075625 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-18 9,1805 9,1755 22,427 22,427 205,8910735 205,7789385 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-19 9,2035 9,1985 22,427 22,427 206,4068945 206,2947595 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-20 9,1915 9,1865 22,431 22,431 206,1745365 206,0623815 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-21 9,1855 9,1805 22,436 22,436 206,085878 205,973698 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-22 9,1625 9,1575 22,436 22,436 205,56985 205,45767 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-25 9,1685 9,1635 22,439 22,439 205,7319715 205,6197765 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-26 9,1375 9,1325 22,44 22,44 205,0455 204,9333 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-27 9,1465 9,1415 22,439 22,439 205,2383135 205,1261185 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-28 9,1505 9,1455 22,44 22,44 205,33722 205,22502 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-04-29 9,1705 9,1655 22,438 22,438 205,767679 205,655489 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-02 9,1935 9,1885 22,442 22,442 206,320527 206,208317 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-03 9,2245 9,2195 22,443 22,443 207,0254535 206,9132385 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-04 9,1915 9,1865 22,444 22,444 206,294026 206,181806 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-06 9,1715 9,1665 22,446 22,446 205,863489 205,751259 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-09 9,1815 9,1765 22,448 22,448 206,106312 205,994072 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-10 9,1985 9,1935 22,447 22,447 206,4787295 206,3664945 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-11 9,2105 9,2055 22,436 22,436 206,646778 206,534598 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-12 9,2315 9,2265 22,442 22,442 207,173323 207,061113 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-13 9,2045 9,1995 22,442 22,442 206,567389 206,455179 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-16 9,2145 9,2095 22,443 22,443 206,8010235 206,6888085 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-17 9,2325 9,2275 22,44 22,44 207,1773 207,0651 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-18 9,2095 9,2045 22,44 22,44 206,66118 206,54898 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-19 9,1905 9,1855 22,445 22,445 206,2807725 206,1685475 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-20 9,1955 9,1905 22,451 22,451 206,4481705 206,3359155 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-23 9,1805 9,1755 22,453 22,453 206,1297665 206,0175015 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-24 9,1815 9,1765 22,455 22,455 206,1705825 206,0583075 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-25 9,1785 9,1735 22,462 22,462 206,167467 206,055157 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-26 9,1945 9,1895 22,469 22,469 206,5912205 206,4788755 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-27 9,1955 9,1905 22,475 22,475 206,6688625 206,5564875 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-30 9,1905 9,1855 22,481 22,481 206,6116305 206,4992255 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-05-31 9,1665 9,1615 22,475 22,475 206,0170875 205,9047125 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-01 9,1455 9,1405 22,481 22,481 205,5999855 205,4875805 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-02 9,1565 9,1515 22,489 22,489 205,9205285 205,8080835 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-03 9,1315 9,1265 22,504 22,504 205,495276 205,382756 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-07 9,1455 9,1405 22,489 22,489 205,6731495 205,5607045 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-08 9,1455 9,1405 22,488 22,488 205,664004 205,551564 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-09 9,1965 9,1915 22,486 22,486 206,792499 206,680069 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-10 9,1975 9,1925 22,49 22,49 206,851775 206,739325 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-13 9,2365 9,2315 22,501 22,501 207,8304865 207,7179815 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-14 9,2985 9,2935 22,503 22,503 209,2441455 209,1316305 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-15 9,2695 9,2645 22,515 22,515 208,7027925 208,5902175 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-16 9,2695 9,2645 22,517 22,517 208,7213315 208,6087465 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-17 9,2695 9,2645 22,522 22,522 208,767679 208,655069 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-20 9,2255 9,2205 22,528 22,528 207,832064 207,719424 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-21 9,2725 9,2675 22,528 22,528 208,89088 208,77824 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-22 9,2615 9,2565 22,528 22,528 208,643072 208,530432 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-23 9,3535 9,3485 22,528 22,528 210,715648 210,603008 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-27 9,3855 9,3805 22,534 22,534 211,492857 211,380187 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-28 9,3995 9,3945 22,54 22,54 211,86473 211,75203 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-29 9,4215 9,4165 22,546 22,546 212,417139 212,304409 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-06-30 9,4415 9,4365 22,547 22,547 212,8775005 212,7647655 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-01 9,4595 9,4545 22,55 22,55 213,311725 213,198975 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-04 9,4795 9,4745 22,555 22,555 213,8101225 213,6973475 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-05 9,4575 9,4525 22,56 22,56 213,3612 213,2484 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-06 9,4195 9,4145 22,559 22,559 212,4945005 212,3817055 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-07 9,3965 9,3915 22,552 22,552 211,909868 211,797108 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-08 9,4175 9,4125 22,559 22,559 212,4493825 212,3365875 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-11 9,4665 9,4615 22,572 22,572 213,677838 213,564978 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-12 9,4645 9,4595 22,576 22,576 213,670552 213,557672 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-13 9,3915 9,3865 22,584 22,584 212,097636 211,984716 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-14 9,3675 9,3625 22,591 22,591 211,6211925 211,5082375 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-15 9,4055 9,4005 22,59 22,59 212,470245 212,357295 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-18 9,3895 9,3845 22,597 22,597 212,1745315 212,0615465 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-19 9,4425 9,4375 22,597 22,597 213,3721725 213,2591875 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-20 9,4265 9,4215 22,598 22,598 213,020047 212,907057 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-21 9,4625 9,4575 22,6 22,6 213,8525 213,7395 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-22 9,4495 9,4445 22,596 22,596 213,520902 213,407922 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-25 9,4275 9,4225 22,6 22,6 213,0615 212,9485 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-26 9,4155 9,4105 22,599 22,599 212,7808845 212,6678895 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-27 9,4725 9,4675 22,601 22,601 214,0879725 213,9749675 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-28 9,4515 9,4465 22,604 22,604 213,641706 213,528686 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-07-29 9,3885 9,3835 22,611 22,611 212,2833735 212,1703185 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-01 9,3985 9,3935 22,616 22,616 212,556476 212,443396 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-02 9,3995 9,3945 22,622 22,622 212,635489 212,522379 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-03 9,3755 9,3705 22,167 22,167 207,8267085 207,7158735 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-04 9,3735 9,3685 22,621 22,621 212,0379435 211,9248385 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-05 9,3355 9,3305 22,629 22,629 211,2530295 211,1398845 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-08 9,3335 9,3285 22,63 22,63 211,217105 211,103955 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-09 9,3455 9,3405 22,628 22,628 211,469974 211,356834 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-10 9,3535 9,3485 22,628 22,628 211,650998 211,537858 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-11 9,3365 9,3315 22,627 22,627 211,2569855 211,1438505 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-12 9,3025 9,2975 22,623 22,623 210,4504575 210,3373425 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-15 9,3065 9,3015 22,624 22,624 210,550256 210,437136 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-16 9,2995 9,2945 22,629 22,629 210,4383855 210,3252405 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-17 9,3405 9,3355 22,63 22,63 211,375515 211,262365 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-18 9,3365 9,3315 22,629 22,629 211,2756585 211,1625135 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-19 9,3395 9,3345 22,63 22,63 211,352885 211,239735 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-22 9,3655 9,3605 22,631 22,631 211,9506305 211,8374755 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-23 9,3715 9,3665 22,633 22,633 212,1051595 211,9919945 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-24 9,3365 9,3315 22,635 22,635 211,3316775 211,2185025 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-25 9,3335 9,3285 22,632 22,632 211,235772 211,122612 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-26 9,3415 9,3365 22,637 22,637 211,4635355 211,3503505 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-29 9,3295 9,3245 22,64 22,64 211,21988 211,10668 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-30 9,3285 9,3235 22,642 22,642 211,215897 211,102687 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-08-31 9,3585 9,3535 22,642 22,642 211,895157 211,781947 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-01 9,3365 9,3315 22,639 22,639 211,3690235 211,2558285 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-02 9,3025 9,2975 22,641 22,641 210,6179025 210,5046975 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-05 9,2845 9,2795 22,647 22,647 210,2660715 210,1528365 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-06 9,3225 9,3175 22,651 22,651 211,1639475 211,0506925 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-07 9,3075 9,3025 22,655 22,655 210,8614125 210,7481375 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-08 9,3255 9,3205 22,653 22,653 211,2505515 211,1372865 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-09 9,3445 9,3395 22,654 22,654 211,690303 211,577033 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-12 9,3015 9,2965 22,667 22,667 210,8371005 210,7237655 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-13 9,3015 9,2965 22,665 22,665 210,8184975 210,7051725 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-14 9,3365 9,3315 22,668 22,668 211,639782 211,526442 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-15 9,3425 9,3375 22,674 22,674 211,831845 211,718475 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-16 9,3465 9,3415 22,678 22,678 211,959927 211,846537 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-19 9,3355 9,3305 22,677 22,677 211,7011335 211,5877485 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-20 9,3395 9,3345 22,678 22,678 211,801181 211,687791 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-21 9,3405 9,3355 22,673 22,673 211,7771565 211,6637915 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-22 9,3405 9,3355 22,678 22,678 211,823859 211,710469 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-23 9,3695 9,3645 22,683 22,683 212,5283685 212,4149535 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-26 9,3815 9,3765 22,697 22,697 212,9319055 212,8184205 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-27 9,3885 9,3835 22,699 22,699 213,1095615 212,9960665 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-28 9,3935 9,3885 22,7 22,7 213,23245 213,11895 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-29 9,3845 9,3795 22,706 22,706 213,084457 212,970927 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-09-30 9,3435 9,3385 22,708 22,708 212,172198 212,058658 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-03 9,3025 9,2975 22,718 22,718 211,334195 211,220605 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-04 9,3185 9,3135 22,718 22,718 211,697683 211,584093 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-05 9,3105 9,3055 22,713 22,713 211,4693865 211,3558215 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-06 9,3015 9,2965 22,713 22,713 211,2649695 211,1514045 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-07 9,3385 9,3335 22,704 22,704 212,021304 211,907784 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-10 9,3465 9,3415 22,706 22,706 212,221629 212,108099 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-11 9,3395 9,3345 22,707 22,707 212,0720265 211,9584915 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-12 9,3375 9,3325 22,715 22,715 212,1013125 211,9877375 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-13 9,3815 9,3765 22,716 22,716 213,110154 212,996574 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-14 9,4135 9,4085 22,715 22,715 213,8276525 213,7140775 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-17 9,4575 9,4525 22,715 22,715 214,8271125 214,7135375 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-18 9,4625 9,4575 22,716 22,716 214,95015 214,83657 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-19 9,4605 9,4555 22,716 22,716 214,904718 214,791138 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-20 9,4935 9,4885 22,717 22,717 215,6638395 215,5502545 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-21 9,4915 9,4865 22,717 22,717 215,6184055 215,5048205 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-24 9,5455 9,5405 22,722 22,722 216,892851 216,779241 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-25 9,5465 9,5415 22,727 22,727 216,9633055 216,8496705 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-26 9,4975 9,4925 22,731 22,731 215,8876725 215,7740175 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-27 9,5355 9,5305 22,733 22,733 216,7705215 216,6568565 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-28 9,5135 9,5085 22,734 22,734 216,279909 216,166239 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-10-31 9,5495 9,5445 22,735 22,735 217,1078825 216,9942075 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-01 9,5495 9,5445 22,736 22,736 217,117432 217,003752 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-02 9,5855 9,5805 22,741 22,741 217,9838555 217,8701505 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-03 9,6515 9,6465 22,742 22,742 219,494413 219,380703 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-04 9,5875 9,5825 22,744 22,744 218,0581 217,94438 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-07 9,6075 9,6025 22,749 22,749 218,5610175 218,4472725 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-08 9,5685 9,5635 22,75 22,75 217,683375 217,569625 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-09 9,5575 9,5525 22,751 22,751 217,4426825 217,3289275 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-10 9,6105 9,6055 22,753 22,753 218,6677065 218,5539415 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-11 9,6365 9,6315 22,754 22,754 219,268921 219,155151 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-14 9,5505 9,5455 22,757 22,757 217,3407285 217,2269435 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-15 9,5805 9,5755 22,757 22,757 218,0234385 217,9096535 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-16 9,6235 9,6185 22,762 22,762 219,050107 218,936297 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-17 9,6355 9,6305 22,763 22,763 219,3328865 219,2190715 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-18 9,6085 9,6035 22,768 22,768 218,766328 218,652488 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-21 9,5915 9,5865 22,769 22,769 218,3888635 218,2750185 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-22 9,5585 9,5535 22,774 22,774 217,685279 217,571409 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-23 9,5155 9,5105 22,772 22,772 216,686966 216,573106 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-24 9,5125 9,5075 22,771 22,771 216,6091375 216,4952825 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-25 9,4965 9,4915 22,775 22,775 216,2827875 216,1689125 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-28 9,4835 9,4785 22,78 22,78 216,03413 215,92023 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-29 9,4785 9,4735 22,785 22,785 215,9676225 215,8536975 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-11-30 9,5295 9,5245 22,784 22,784 217,120128 217,006208 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-01 9,5165 9,5115 22,782 22,782 216,804903 216,690993 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-02 9,4905 9,4855 22,784 22,784 216,231552 216,117632 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-05 9,4065 9,4015 22,789 22,789 214,3647285 214,2507835 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-07 9,4255 9,4205 22,792 22,792 214,825996 214,712036 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-08 9,3965 9,3915 22,792 22,792 214,165028 214,051068 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-12 9,4315 9,4265 22,794 22,794 214,981611 214,867641 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-13 9,4295 9,4245 22,797 22,797 214,9643115 214,8503265 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-14 9,4365 9,4315 22,798 22,798 215,133327 215,019337 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-15 9,4345 9,4295 22,799 22,799 215,0971655 214,9831705 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-16 9,4765 9,4715 22,798 22,798 216,045247 215,931257 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-19 9,4535 9,4485 22,8 22,8 215,5398 215,4258 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-20 9,4015 9,3965 22,804 22,804 214,391806 214,277786 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-21 9,4485 9,4435 22,81 22,81 215,520285 215,406235 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-22 9,4365 9,4315 22,81 22,81 215,246565 215,132515 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-23 9,4425 9,4375 22,81 22,81 215,383425 215,269375 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-27 9,4915 9,4865 22,816 22,816 216,558064 216,443984 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-28 9,4345 9,4295 22,815 22,815 215,2481175 215,1340425 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-29 9,4115 9,4065 22,82 22,82 214,77043 214,65633 621631 Evli-Fondbolag Ab Evli Target Return EUR 2005-12-30 9,4325 9,4275 22,822 22,822 215,268515 215,154405 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-04 6,728 6,718 10,23 10,23 68,82744 68,72514 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-05 6,828 6,818 10,05 10,05 68,6214 68,5209 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-07 6,87 6,86 10,09 10,09 69,3183 69,2174 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-10 6,96091 6,95091 10,09 10,09 70,2355819 70,1346819 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-11 6,96091 6,95091 10,09 10,09 70,2355819 70,1346819 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-12 6,913 6,903 10,08 10,08 69,68304 69,58224 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-13 6,843 6,833 10,12 10,12 69,25116 69,14996 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-14 6,915 6,905 10,15 10,15 70,18725 70,08575 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-17 6,915 6,905 10,09 10,09 69,77235 69,67145 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-18 6,968 6,958 10,07 10,07 70,16776 70,06706 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-19 6,91 6,9 10,08 10,08 69,6528 69,552 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-20 6,96 6,95 10,01 10,01 69,6696 69,5695 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-21 6,978 6,968 10 10 69,78 69,68 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-24 6,933 6,923 9,93 9,93 68,84469 68,74539 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-25 6,95 6,94 9,98 9,98 69,361 69,2612 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-26 6,995 6,985 10,04 10,04 70,2298 70,1294 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-27 6,93 6,92 10,07 10,07 69,7851 69,6844 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-28 6,985 6,975 10,1 10,1 70,5485 70,4475 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-01-31 6,998 6,988 10,19 10,19 71,30962 71,20772 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-01 6,993 6,983 10,19 10,19 71,25867 71,15677 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-02 6,953 6,943 10,22 10,22 71,05966 70,95746 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-03 6,968 6,958 10,25 10,25 71,422 71,3195 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-04 7,01 7 10,27 10,27 71,9927 71,89 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-07 7,065 7,055 10,32 10,32 72,9108 72,8076 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-08 7,123 7,113 10,3 10,3 73,3669 73,2639 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-09 7,1 7,09 10,29 10,29 73,059 72,9561 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-10 7,088 7,078 10,31 10,31 73,07728 72,97418 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-11 7,068 7,058 10,36 10,36 73,22448 73,12088 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-14 7,03 7,02 10,43 10,43 73,3229 73,2186 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-15 7,005 6,995 10,42 10,42 72,9921 72,8879 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-16 6,973 6,963 10,43 10,43 72,72839 72,62409 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-17 6,97 6,96 10,42 10,42 72,6274 72,5232 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-18 6,965 6,955 10,46 10,46 72,8539 72,7493 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-21 6,978 6,968 10,49 10,49 73,19922 73,09432 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-22 6,905 6,895 10,5 10,5 72,5025 72,3975 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-23 6,895 6,885 10,42 10,42 71,8459 71,7417 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-24 6,858 6,848 10,47 10,47 71,80326 71,69856 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-25 6,885 6,875 10,59 10,59 72,91215 72,80625 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-02-28 6,828 6,818 10,7 10,7 73,0596 72,9526 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-01 6,87 6,86 10,71 10,71 73,5777 73,4706 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-02 6,888 6,878 10,57 10,57 72,80616 72,70046 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-03 6,903 6,893 10,59 10,59 73,10277 72,99687 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-04 6,9 6,89 10,56 10,56 72,864 72,7584 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-07 6,84 6,83 10,65 10,65 72,846 72,7395 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-08 6,825 6,815 10,61 10,61 72,41325 72,30715 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-09 6,76 6,75 10,65 10,65 71,994 71,8875 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-10 6,745 6,735 10,54 10,54 71,0923 70,9869 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-11 6,765 6,755 10,51 10,51 71,10015 70,99505 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-14 6,76 6,75 10,54 10,54 71,2504 71,145 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-15 6,815 6,805 10,47 10,47 71,35305 71,24835 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-16 6,81 6,8 10,53 10,53 71,7093 71,604 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-18 6,828 6,818 10,54 10,54 71,96712 71,86172 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-21 6,908 6,898 10,52 10,52 72,67216 72,56696 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-22 6,928 6,918 10,43 10,43 72,25904 72,15474 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-23 6,973 6,963 10,25 10,25 71,47325 71,37075 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-24 7,008 6,998 10,21 10,21 71,55168 71,44958 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-29 7,055 7,045 10,05 10,05 70,90275 70,80225 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-30 7,053 7,043 10,09 10,09 71,16477 71,06387 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-03-31 7,065 7,055 10,17 10,17 71,85105 71,74935 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-01 7,07 7,06 10,2 10,2 72,114 72,012 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-04 7,113 7,103 10,13 10,13 72,05469 71,95339 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-05 7,163 7,153 10,15 10,15 72,70445 72,60295 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-06 7,125 7,115 10,16 10,16 72,39 72,2884 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-07 7,083 7,073 10,19 10,19 72,17577 72,07387 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-08 7,153 7,143 10,24 10,24 73,24672 73,14432 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-11 7,098 7,088 10,22 10,22 72,54156 72,43936 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-12 7,048 7,038 10,25 10,25 72,242 72,1395 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-13 7,075 7,065 10,26 10,26 72,5895 72,4869 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-14 7,12 7,11 10,15 10,15 72,268 72,1665 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-15 7,17 7,16 9,99 9,99 71,6283 71,5284 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-18 7,08 7,07 9,85 9,85 69,738 69,6395 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-19 7,068 7,058 9,94 9,94 70,25592 70,15652 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-20 7,043 7,033 9,94 9,94 70,00742 69,90802 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-21 7,025 7,015 9,99 9,99 70,17975 70,07985 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-22 7,023 7,013 10,05 10,05 70,58115 70,48065 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-25 7,04 7,03 10,1 10,1 71,104 71,003 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-26 7,035 7,025 10,12 10,12 71,1942 71,093 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-27 7,085 7,075 10,06 10,06 71,2751 71,1745 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-28 7,085 7,075 10 10 70,85 70,75 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-04-29 7,08 7,07 10,06 10,06 71,2248 71,1242 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-03 7,178 7,168 10,01 10,01 71,85178 71,75168 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-04 7,11 7,1 10,17 10,17 72,3087 72,207 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-06 7,085 7,075 10,21 10,21 72,33785 72,23575 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-09 7,168 7,158 10,24 10,24 73,40032 73,29792 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-10 7,178 7,168 10,16 10,16 72,92848 72,82688 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-11 7,15 7,14 10,15 10,15 72,5725 72,471 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-12 7,243 7,233 10,1 10,1 73,1543 73,0533 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-13 7,265 7,255 10,02 10,02 72,7953 72,6951 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-16 7,32 7,31 9,96 9,96 72,9072 72,8076 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-17 7,313 7,303 9,91 9,91 72,47183 72,37273 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-18 7,3 7,29 9,98 9,98 72,854 72,7542 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-19 7,26 7,25 10,1 10,1 73,326 73,225 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-20 7,28 7,27 10,08 10,08 73,3824 73,2816 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-23 7,32 7,31 10,04 10,04 73,4928 73,3924 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-24 7,295 7,285 10,11 10,11 73,75245 73,65135 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-25 7,298 7,288 10 10 72,98 72,88 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-26 7,33 7,32 10,03 10,03 73,5199 73,4196 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-27 7,338 7,328 10,11 10,11 74,18718 74,08608 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-30 7,338 7,328 10,16 10,16 74,55408 74,45248 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-05-31 7,403 7,393 10,14 10,14 75,06642 74,96502 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-01 7,428 7,418 10,11 10,11 75,09708 74,99598 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-02 7,473 7,463 10,17 10,17 76,00041 75,89871 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-03 7,438 7,428 10,24 10,24 76,16512 76,06272 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-07 7,448 7,438 10,31 10,31 76,78888 76,68578 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-08 7,435 7,425 10,33 10,33 76,80355 76,70025 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-09 7,523 7,513 10,36 10,36 77,93828 77,83468 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-10 7,525 7,515 10,39 10,39 78,18475 78,08085 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-13 7,643 7,633 10,36 10,36 79,18148 79,07788 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-14 7,663 7,653 10,38 10,38 79,54194 79,43814 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-15 7,693 7,683 10,39 10,39 79,93027 79,82637 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-16 7,678 7,668 10,67 10,67 81,92426 81,81756 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-17 7,643 7,633 10,77 10,77 82,31511 82,20741 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-20 7,543 7,533 10,8 10,8 81,4644 81,3564 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-21 7,648 7,638 10,75 10,75 82,216 82,1085 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-22 7,608 7,598 10,81 10,81 82,24248 82,13438 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-23 7,73 7,72 10,78 10,78 83,3294 83,2216 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-27 7,73 7,72 10,75 10,75 83,0975 82,99 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-28 7,76 7,75 10,77 10,77 83,5752 83,4675 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-29 7,833 7,823 10,71 10,71 83,89143 83,78433 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-06-30 7,823 7,813 10,69 10,69 83,62787 83,52097 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-01 7,858 7,848 10,69 10,69 84,00202 83,89512 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-04 7,945 7,935 10,68 10,68 84,8526 84,7458 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-05 7,963 7,953 10,63 10,63 84,64669 84,54039 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-06 7,895 7,885 10,65 10,65 84,08175 83,97525 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-07 7,878 7,868 10,57 10,57 83,27046 83,16476 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-08 7,913 7,903 10,55 10,55 83,48215 83,37665 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-11 7,89 7,88 10,72 10,72 84,5808 84,4736 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-12 7,77 7,76 10,8 10,8 83,916 83,808 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-13 7,703 7,693 10,86 10,86 83,65458 83,54598 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-14 7,76 7,75 10,92 10,92 84,7392 84,63 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-15 7,76 7,75 10,94 10,94 84,8944 84,785 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-18 7,78 7,77 10,91 10,91 84,8798 84,7707 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-19 7,878 7,868 10,93 10,93 86,10654 85,99724 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-20 7,818 7,808 11 11 85,998 85,888 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-21 7,775 7,765 11,13 11,13 86,53575 86,42445 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-22 7,758 7,748 11,25 11,25 87,2775 87,165 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-25 7,838 7,828 11,14 11,14 87,31532 87,20392 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-26 7,818 7,808 11,2 11,2 87,5616 87,4496 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-27 7,905 7,895 11,19 11,19 88,45695 88,34505 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-28 7,848 7,838 11,24 11,24 88,21152 88,09912 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-07-29 7,748 7,738 11,32 11,32 87,70736 87,59416 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-02 7,7 7,69 11,43 11,43 88,011 87,8967 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-03 7,685 7,675 11,47 11,47 88,14695 88,03225 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-04 7,618 7,608 11,43 11,43 87,07374 86,95944 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-05 7,548 7,538 11,36 11,36 85,74528 85,63168 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-08 7,558 7,548 11,38 11,38 86,01004 85,89624 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-09 7,548 7,538 11,39 11,39 85,97172 85,85782 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-10 7,558 7,548 11,48 11,48 86,76584 86,65104 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-11 7,523 7,513 11,55 11,55 86,89065 86,77515 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-12 7,46 7,45 11,55 11,55 86,163 86,0475 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-15 7,508 7,498 11,52 11,52 86,49216 86,37696 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-16 7,523 7,513 11,43 11,43 85,98789 85,87359 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-17 7,605 7,595 11,39 11,39 86,62095 86,50705 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-18 7,61 7,6 11,26 11,26 85,6886 85,576 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-19 7,698 7,688 11,24 11,24 86,52552 86,41312 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-22 7,69 7,68 11,34 11,34 87,2046 87,0912 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-23 7,663 7,653 11,27 11,27 86,36201 86,24931 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-24 7,673 7,663 11,2 11,2 85,9376 85,8256 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-25 7,588 7,578 11,23 11,23 85,21324 85,10094 481978 Fiduciary International Ireland Limited Fiduciary Asian (Ex Japan) Equity Fund USD 2005-08-26 7,578 7,568 11,2 11,2 84,8736 84,7616 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-04 9,0345 9,0295 14,08 14,08 127,20576 127,13536 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-05 9,0615 9,0565 13,96 13,96 126,49854 126,42874 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-07 9,0615 9,0565 14,14 14,14 128,12961 128,05891 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-10 9,08619 9,08119 14,16 14,16 128,6604504 128,5896504 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-11 9,08619 9,08119 14,11 14,11 128,2061409 128,1355909 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-12 9,0455 9,0405 14,09 14,09 127,451095 127,380645 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-13 9,0505 9,0455 14,19 14,19 128,426595 128,355645 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-14 9,0455 9,0405 14,26 14,26 128,98883 128,91753 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-17 9,0685 9,0635 14,45 14,45 131,039825 130,967575 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-18 9,0585 9,0535 14,45 14,45 130,895325 130,823075 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-19 9,0225 9,0175 14,71 14,71 132,720975 132,647425 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-20 9,0315 9,0265 14,33 14,33 129,421395 129,349745 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-21 9,0505 9,0455 14,36 14,36 129,96518 129,89338 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-24 9,0655 9,0605 14,31 14,31 129,727305 129,655755 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-25 9,0715 9,0665 14,83 14,83 134,530345 134,456195 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-26 9,0885 9,0835 15,59 15,59 141,689715 141,611765 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-27 9,0675 9,0625 15,06 15,06 136,55655 136,48125 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-28 9,0955 9,0905 14,97 14,97 136,159635 136,084785 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-01-31 9,1075 9,1025 15,08 15,08 137,3411 137,2657 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-01 9,1035 9,0985 15,12 15,12 137,64492 137,56932 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-02 9,0905 9,0855 15,17 15,17 137,902885 137,827035 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-03 9,0695 9,0645 15,28 15,28 138,58196 138,50556 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-04 9,0895 9,0845 15,41 15,41 140,069195 139,992145 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-07 9,0755 9,0705 15,53 15,53 140,942515 140,864865 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-08 9,0895 9,0845 15,56 15,56 141,43262 141,35482 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-09 9,0695 9,0645 15,62 15,62 141,66559 141,58749 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-10 9,0805 9,0755 15,52 15,52 140,92936 140,85176 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-11 9,0935 9,0885 15,65 15,65 142,313275 142,235025 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-14 9,1105 9,1055 15,74 15,74 143,39927 143,32057 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-15 9,0765 9,0715 15,8 15,8 143,4087 143,3297 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-16 9,0705 9,0655 15,74 15,74 142,76967 142,69097 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-17 9,0925 9,0875 15,74 15,74 143,11595 143,03725 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-18 9,0945 9,0895 15,74 15,74 143,14743 143,06873 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-21 9,1185 9,1135 15,67 15,67 142,886895 142,808545 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-22 9,0975 9,0925 15,67 15,67 142,557825 142,479475 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-23 9,1045 9,0995 15,42 15,42 140,39139 140,31429 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-24 9,0715 9,0665 15,46 15,46 140,24539 140,16809 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-25 9,0845 9,0795 15,62 15,62 141,89989 141,82179 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-02-28 9,0505 9,0455 15,67 15,67 141,821335 141,742985 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-01 9,0565 9,0515 15,71 15,71 142,277615 142,199065 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-02 9,0645 9,0595 15,68 15,68 142,13136 142,05296 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-03 9,0675 9,0625 15,69 15,69 142,269075 142,190625 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-04 9,0415 9,0365 15,79 15,79 142,765285 142,686335 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-07 9,0425 9,0375 15,88 15,88 143,5949 143,5155 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-08 9,0345 9,0295 15,77 15,77 142,474065 142,395215 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-09 9,0365 9,0315 15,77 15,77 142,505605 142,426755 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-10 9,0655 9,0605 15,63 15,63 141,693765 141,615615 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-11 9,0795 9,0745 15,69 15,69 142,457355 142,378905 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-14 9,0695 9,0645 15,72 15,72 142,57254 142,49394 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-15 9,1035 9,0985 15,75 15,75 143,380125 143,301375 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-16 9,0975 9,0925 15,64 15,64 142,2849 142,2067 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-18 9,1035 9,0985 15,7 15,7 142,92495 142,84645 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-21 9,1265 9,1215 15,65 15,65 142,829725 142,751475 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-22 9,1265 9,1215 15,58 15,58 142,19087 142,11297 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-23 9,1165 9,1115 15,42 15,42 140,57643 140,49933 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-24 9,1135 9,1085 15,46 15,46 140,89471 140,81741 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-29 9,1315 9,1265 15,47 15,47 141,264305 141,186955 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-30 9,1425 9,1375 15,47 15,47 141,434475 141,357125 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-03-31 9,1405 9,1355 15,55 15,55 142,134775 142,057025 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-01 9,1645 9,1595 15,67 15,67 143,607715 143,529365 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-04 9,1695 9,1645 15,62 15,62 143,22759 143,14949 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-05 9,1745 9,1695 15,7 15,7 144,03965 143,96115 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-06 9,1705 9,1655 15,81 15,81 144,985605 144,906555 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-07 9,1505 9,1455 15,87 15,87 145,218435 145,139085 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-08 9,1625 9,1575 15,94 15,94 146,05025 145,97055 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-11 9,1705 9,1655 15,96 15,96 146,36118 146,28138 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-12 9,1525 9,1475 15,95 15,95 145,982375 145,902625 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-13 9,1495 9,1445 16,07 16,07 147,032465 146,952115 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-14 9,1685 9,1635 15,9 15,9 145,77915 145,69965 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-15 9,1925 9,1875 15,07 15,07 138,530975 138,455625 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-18 9,1805 9,1755 14,1 14,1 129,44505 129,37455 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-19 9,2035 9,1985 14,2 14,2 130,6897 130,6187 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-20 9,1915 9,1865 14,23 14,23 130,795045 130,723895 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-21 9,1855 9,1805 14,18 14,18 130,25039 130,17949 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-22 9,1625 9,1575 14,28 14,28 130,8405 130,7691 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-25 9,1685 9,1635 14,27 14,27 130,834495 130,763145 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-26 9,1375 9,1325 14,18 14,18 129,56975 129,49885 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-27 9,1465 9,1415 13,82 13,82 126,40463 126,33553 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-28 9,1505 9,1455 13,7 13,7 125,36185 125,29335 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-04-29 9,1705 9,1655 13,71 13,71 125,727555 125,659005 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-03 9,2245 9,2195 13,84 13,84 127,66708 127,59788 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-04 9,1915 9,1865 13,82 13,82 127,02653 126,95743 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-06 9,1715 9,1665 13,87 13,87 127,208705 127,139355 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-09 9,1815 9,1765 13,88 13,88 127,43922 127,36982 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-10 9,1985 9,1935 13,86 13,86 127,49121 127,42191 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-11 9,2105 9,2055 13,83 13,83 127,381215 127,312065 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-12 9,2315 9,2265 13,88 13,88 128,13322 128,06382 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-13 9,2045 9,1995 13,94 13,94 128,31073 128,24103 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-16 9,2145 9,2095 14 14 129,003 128,933 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-17 9,2325 9,2275 14 14 129,255 129,185 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-18 9,2095 9,2045 14,08 14,08 129,66976 129,59936 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-19 9,1905 9,1855 14,16 14,16 130,13748 130,06668 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-20 9,1955 9,1905 14,15 14,15 130,116325 130,045575 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-23 9,1805 9,1755 14,22 14,22 130,54671 130,47561 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-24 9,1815 9,1765 14,23 14,23 130,652745 130,581595 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-25 9,1785 9,1735 14,23 14,23 130,610055 130,538905 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-26 9,1945 9,1895 14,33 14,33 131,757185 131,685535 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-27 9,1955 9,1905 14,34 14,34 131,86347 131,79177 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-30 9,1905 9,1855 14,4 14,4 132,3432 132,2712 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-05-31 9,1665 9,1615 14,55 14,55 133,372575 133,299825 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-01 9,1455 9,1405 14,61 14,61 133,615755 133,542705 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-02 9,1565 9,1515 14,61 14,61 133,776465 133,703415 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-03 9,1315 9,1265 14,62 14,62 133,50253 133,42943 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-07 9,1455 9,1405 14,77 14,77 135,079035 135,005185 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-08 9,1455 9,1405 14,82 14,82 135,53631 135,46221 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-09 9,1965 9,1915 14,86 14,86 136,65999 136,58569 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-10 9,1975 9,1925 14,96 14,96 137,5946 137,5198 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-13 9,2365 9,2315 15,13 15,13 139,748245 139,672595 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-14 9,2985 9,2935 15,11 15,11 140,500335 140,424785 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-15 9,2695 9,2645 15,13 15,13 140,247535 140,171885 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-16 9,2695 9,2645 15,26 15,26 141,45257 141,37627 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-17 9,2695 9,2645 15,3 15,3 141,82335 141,74685 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-20 9,2255 9,2205 15,3 15,3 141,15015 141,07365 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-21 9,2725 9,2675 15,34 15,34 142,24015 142,16345 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-22 9,2615 9,2565 15,26 15,26 141,33049 141,25419 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-23 9,3535 9,3485 15,23 15,23 142,453805 142,377655 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-27 9,3855 9,3805 15,09 15,09 141,627195 141,551745 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-28 9,3995 9,3945 15,18 15,18 142,68441 142,60851 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-29 9,4215 9,4165 15,28 15,28 143,96052 143,88412 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-06-30 9,4415 9,4365 15,32 15,32 144,64378 144,56718 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-01 9,4595 9,4545 15,42 15,42 145,86549 145,78839 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-04 9,4795 9,4745 15,47 15,47 146,647865 146,570515 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-05 9,4575 9,4525 15,51 15,51 146,685825 146,608275 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-06 9,4195 9,4145 15,49 15,49 145,908055 145,830605 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-07 9,3965 9,3915 15,3 15,3 143,76645 143,68995 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-08 9,4175 9,4125 15,55 15,55 146,442125 146,364375 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-11 9,4665 9,4615 15,68 15,68 148,43472 148,35632 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-12 9,4645 9,4595 15,67 15,67 148,308715 148,230365 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-13 9,3915 9,3865 15,73 15,73 147,728295 147,649645 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-14 9,3675 9,3625 15,68 15,68 146,8824 146,804 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-15 9,4055 9,4005 15,66 15,66 147,29013 147,21183 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-18 9,3895 9,3845 15,7 15,7 147,41515 147,33665 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-19 9,4425 9,4375 15,73 15,73 148,530525 148,451875 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-20 9,4265 9,4215 15,69 15,69 147,901785 147,823335 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-21 9,4625 9,4575 15,74 15,74 148,93975 148,86105 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-22 9,4495 9,4445 15,83 15,83 149,585585 149,506435 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-25 9,4275 9,4225 15,84 15,84 149,3316 149,2524 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-26 9,4155 9,4105 15,91 15,91 149,800605 149,721055 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-27 9,4725 9,4675 16,04 16,04 151,9389 151,8587 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-28 9,4515 9,4465 16,17 16,17 152,830755 152,749905 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-07-29 9,3885 9,3835 16,26 16,26 152,65701 152,57571 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-02 9,3995 9,3945 16,48 16,48 154,90376 154,82136 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-03 9,3755 9,3705 16,45 16,45 154,226975 154,144725 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-04 9,3735 9,3685 16,45 16,45 154,194075 154,111825 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-05 9,3355 9,3305 16,46 16,46 153,66233 153,58003 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-08 9,3335 9,3285 16,53 16,53 154,282755 154,200105 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-09 9,3455 9,3405 16,54 16,54 154,57457 154,49187 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-10 9,3535 9,3485 16,5 16,5 154,33275 154,25025 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-11 9,3365 9,3315 16,52 16,52 154,23898 154,15638 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-12 9,3025 9,2975 16,52 16,52 153,6773 153,5947 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-15 9,3065 9,3015 16,53 16,53 153,836445 153,753795 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-16 9,2995 9,2945 16,54 16,54 153,81373 153,73103 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-17 9,3405 9,3355 16,55 16,55 154,585275 154,502525 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-18 9,3365 9,3315 16,55 16,55 154,519075 154,436325 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-19 9,3395 9,3345 16,56 16,56 154,66212 154,57932 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-22 9,3655 9,3605 16,57 16,57 155,186335 155,103485 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-23 9,3715 9,3665 16,57 16,57 155,285755 155,202905 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-24 9,3365 9,3315 16,57 16,57 154,705805 154,622955 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-25 9,3335 9,3285 16,58 16,58 154,74943 154,66653 410316 Fiduciary International Ireland Limited Fiduciary European Smaller Companies Fund EUR 2005-08-26 9,3415 9,3365 16,58 16,58 154,88207 154,79917 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-04 6,728 6,718 28,59 28,59 192,35352 192,06762 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-05 6,828 6,818 28,15 28,15 192,2082 191,9267 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-07 6,87 6,86 27,91 27,91 191,7417 191,4626 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-10 6,96091 6,95091 28,04 28,04 195,1839164 194,9035164 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-11 6,96091 6,95091 27,78 27,78 193,3740798 193,0962798 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-12 6,913 6,903 27,78 27,78 192,04314 191,76534 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-13 6,843 6,833 27,62 27,62 189,00366 188,72746 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-14 6,915 6,905 27,93 27,93 193,13595 192,85665 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-17 6,915 6,905 27,92 27,92 193,0668 192,7876 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-18 6,968 6,958 28,2 28,2 196,4976 196,2156 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-19 6,91 6,9 27,85 27,85 192,4435 192,165 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-20 6,96 6,95 27,68 27,68 192,6528 192,376 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-21 6,978 6,968 27,47 27,47 191,68566 191,41096 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-24 6,933 6,923 27,15 27,15 188,23095 187,95945 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-25 6,95 6,94 27,33 27,33 189,9435 189,6702 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-26 6,995 6,985 27,76 27,76 194,1812 193,9036 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-27 6,93 6,92 27,84 27,84 192,9312 192,6528 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-28 6,985 6,975 27,63 27,63 192,99555 192,71925 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-01-31 6,998 6,988 28,22 28,22 197,48356 197,20136 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-01 6,993 6,983 28,37 28,37 198,39141 198,10771 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-02 6,953 6,943 28,58 28,58 198,71674 198,43094 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-03 6,968 6,958 28,37 28,37 197,68216 197,39846 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-04 7,01 7 28,89 28,89 202,5189 202,23 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-07 7,065 7,055 28,75 28,75 203,11875 202,83125 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-08 7,123 7,113 28,88 28,88 205,71224 205,42344 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-09 7,1 7,09 28,29 28,29 200,859 200,5761 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-10 7,088 7,078 28,35 28,35 200,9448 200,6613 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-11 7,068 7,058 28,73 28,73 203,06364 202,77634 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-14 7,03 7,02 28,74 28,74 202,0422 201,7548 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-15 7,005 6,995 28,62 28,62 200,4831 200,1969 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-16 6,973 6,963 28,77 28,77 200,61321 200,32551 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-17 6,97 6,96 28,35 28,35 197,5995 197,316 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-18 6,965 6,955 28,4 28,4 197,806 197,522 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-21 6,978 6,968 28,39 28,39 198,10542 197,82152 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-22 6,905 6,895 27,97 27,97 193,13285 192,85315 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-23 6,895 6,885 28,11 28,11 193,81845 193,53735 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-24 6,858 6,848 28,41 28,41 194,83578 194,55168 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-25 6,885 6,875 28,85 28,85 198,63225 198,34375 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-02-28 6,828 6,818 28,89 28,89 197,26092 196,97202 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-01 6,87 6,86 29,01 29,01 199,2987 199,0086 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-02 6,888 6,878 29,02 29,02 199,88976 199,59956 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-03 6,903 6,893 29,04 29,04 200,46312 200,17272 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-04 6,9 6,89 29,32 29,32 202,308 202,0148 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-07 6,84 6,83 29,22 29,22 199,8648 199,5726 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-08 6,825 6,815 28,94 28,94 197,5155 197,2261 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-09 6,76 6,75 28,58 28,58 193,2008 192,915 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-10 6,745 6,735 28,4 28,4 191,558 191,274 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-11 6,765 6,755 28,39 28,39 192,05835 191,77445 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-14 6,76 6,75 28,63 28,63 193,5388 193,2525 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-15 6,815 6,805 28,53 28,53 194,43195 194,14665 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-16 6,81 6,8 28,29 28,29 192,6549 192,372 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-18 6,828 6,818 28,33 28,33 193,43724 193,15394 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-21 6,908 6,898 28,38 28,38 196,04904 195,76524 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-22 6,928 6,918 28,2 28,2 195,3696 195,0876 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-23 6,973 6,963 28,02 28,02 195,38346 195,10326 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-24 7,008 6,998 28,29 28,29 198,25632 197,97342 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-29 7,055 7,045 27,43 27,43 193,51865 193,24435 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-30 7,053 7,043 27,8 27,8 196,0734 195,7954 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-03-31 7,065 7,055 27,82 27,82 196,5483 196,2701 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-01 7,07 7,06 27,9 27,9 197,253 196,974 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-04 7,113 7,103 27,9 27,9 198,4527 198,1737 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-05 7,163 7,153 27,89 27,89 199,77607 199,49717 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-06 7,125 7,115 28,02 28,02 199,6425 199,3623 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-07 7,083 7,073 28,21 28,21 199,81143 199,52933 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-08 7,153 7,143 27,86 27,86 199,28258 199,00398 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-11 7,098 7,088 27,69 27,69 196,54362 196,26672 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-12 7,048 7,038 27,9 27,9 196,6392 196,3602 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-13 7,075 7,065 27,49 27,49 194,49175 194,21685 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-14 7,12 7,11 27,06 27,06 192,6672 192,3966 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-15 7,17 7,16 26,61 26,61 190,7937 190,5276 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-18 7,08 7,07 26,75 26,75 189,39 189,1225 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-19 7,068 7,058 27,37 27,37 193,45116 193,17746 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-20 7,043 7,033 26,95 26,95 189,80885 189,53935 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-21 7,025 7,015 27,55 27,55 193,53875 193,26325 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-22 7,023 7,013 27,29 27,29 191,65767 191,38477 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-25 7,04 7,03 27,64 27,64 194,5856 194,3092 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-26 7,035 7,025 27,23 27,23 191,56305 191,29075 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-27 7,085 7,075 27,13 27,13 192,21605 191,94475 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-28 7,085 7,075 26,24 26,24 185,9104 185,648 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-04-29 7,08 7,07 26,91 26,91 190,5228 190,2537 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-03 7,178 7,168 27,03 27,03 194,02134 193,75104 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-04 7,11 7,1 27,61 27,61 196,3071 196,031 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-06 7,085 7,075 27,86 27,86 197,3881 197,1095 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-09 7,168 7,158 28,06 28,06 201,13408 200,85348 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-10 7,178 7,168 27,76 27,76 199,26128 198,98368 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-11 7,15 7,14 27,79 27,79 198,6985 198,4206 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-12 7,243 7,233 27,48 27,48 199,03764 198,76284 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-13 7,265 7,255 27,33 27,33 198,55245 198,27915 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-16 7,32 7,31 27,63 27,63 202,2516 201,9753 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-17 7,313 7,303 27,79 27,79 203,22827 202,95037 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-18 7,3 7,29 28,28 28,28 206,444 206,1612 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-19 7,26 7,25 27,95 27,95 202,917 202,6375 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-20 7,28 7,27 27,92 27,92 203,2576 202,9784 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-23 7,32 7,31 28,1 28,1 205,692 205,411 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-24 7,295 7,285 28,08 28,08 204,8436 204,5628 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-25 7,298 7,288 27,9 27,9 203,6142 203,3352 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-26 7,33 7,32 28,2 28,2 206,706 206,424 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-27 7,338 7,328 28,31 28,31 207,73878 207,45568 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-30 7,338 7,328 28,31 28,31 207,73878 207,45568 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-05-31 7,403 7,393 28,36 28,36 209,94908 209,66548 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-01 7,428 7,418 28,53 28,53 211,92084 211,63554 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-02 7,473 7,463 28,63 28,63 213,95199 213,66569 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-03 7,438 7,428 28,44 28,44 211,53672 211,25232 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-07 7,448 7,438 28,55 28,55 212,6404 212,3549 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-08 7,435 7,425 28,42 28,42 211,3027 211,0185 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-09 7,523 7,513 28,81 28,81 216,73763 216,44953 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-10 7,525 7,515 28,81 28,81 216,79525 216,50715 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-13 7,643 7,633 28,87 28,87 220,65341 220,36471 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-14 7,663 7,653 29,03 29,03 222,45689 222,16659 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-15 7,693 7,683 29,15 29,15 224,25095 223,95945 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-16 7,678 7,668 29,33 29,33 225,19574 224,90244 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-17 7,643 7,633 29,44 29,44 225,00992 224,71552 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-20 7,543 7,533 29,3 29,3 221,0099 220,7169 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-21 7,648 7,638 29,19 29,19 223,24512 222,95322 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-22 7,608 7,598 29,3 29,3 222,9144 222,6214 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-23 7,73 7,72 28,85 28,85 223,0105 222,722 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-27 7,73 7,72 28,75 28,75 222,2375 221,95 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-28 7,76 7,75 29,35 29,35 227,756 227,4625 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-29 7,833 7,823 29,54 29,54 231,38682 231,09142 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-06-30 7,823 7,813 29,36 29,36 229,68328 229,38968 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-01 7,858 7,848 29,47 29,47 231,57526 231,28056 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-04 7,945 7,935 29,47 29,47 234,13915 233,84445 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-05 7,963 7,953 29,94 29,94 238,41222 238,11282 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-06 7,895 7,885 29,8 29,8 235,271 234,973 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-07 7,878 7,868 29,91 29,91 235,63098 235,33188 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-08 7,913 7,903 30,47 30,47 241,10911 240,80441 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-11 7,89 7,88 30,89 30,89 243,7221 243,4132 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-12 7,77 7,76 30,78 30,78 239,1606 238,8528 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-13 7,703 7,693 30,63 30,63 235,94289 235,63659 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-14 7,76 7,75 30,7 30,7 238,232 237,925 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-15 7,76 7,75 30,79 30,79 238,9304 238,6225 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-18 7,78 7,77 30,51 30,51 237,3678 237,0627 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-19 7,878 7,868 31,1 31,1 245,0058 244,6948 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-20 7,818 7,808 31,46 31,46 245,95428 245,63968 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-21 7,775 7,765 31,14 31,14 242,1135 241,8021 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-22 7,758 7,748 31,57 31,57 244,92006 244,60436 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-25 7,838 7,828 31,28 31,28 245,17264 244,85984 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-26 7,818 7,808 31,33 31,33 244,93794 244,62464 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-27 7,905 7,895 31,29 31,29 247,34745 247,03455 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-28 7,848 7,838 31,64 31,64 248,31072 247,99432 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-07-29 7,748 7,738 31,58 31,58 244,68184 244,36604 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-02 7,7 7,69 31,95 31,95 246,015 245,6955 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-03 7,685 7,675 31,9 31,9 245,1515 244,8325 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-04 7,618 7,608 31,48 31,48 239,81464 239,49984 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-05 7,548 7,538 31,1 31,1 234,7428 234,4318 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-08 7,558 7,548 30,87 30,87 233,31546 233,00676 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-09 7,548 7,538 30,89 30,89 233,15772 232,84882 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-10 7,558 7,548 31,15 31,15 235,4317 235,1202 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-11 7,523 7,513 31,24 31,24 235,01852 234,70612 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-12 7,46 7,45 30,92 30,92 230,6632 230,354 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-15 7,508 7,498 31,07 31,07 233,27356 232,96286 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-16 7,523 7,513 30,59 30,59 230,12857 229,82267 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-17 7,605 7,595 30,68 30,68 233,3214 233,0146 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-18 7,61 7,6 30,33 30,33 230,8113 230,508 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-19 7,698 7,688 30,52 30,52 234,94296 234,63776 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-22 7,69 7,68 30,72 30,72 236,2368 235,9296 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-23 7,663 7,653 30,67 30,67 235,02421 234,71751 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-24 7,673 7,663 30,6 30,6 234,7938 234,4878 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-25 7,588 7,578 31,35 31,35 237,8838 237,5703 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-26 7,578 7,568 30,94 30,94 234,46332 234,15392 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-29 7,573 7,563 31,26 31,26 236,73198 236,41938 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-30 7,633 7,623 31,27 31,27 238,68391 238,37121 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-08-31 7,668 7,658 31,77 31,77 243,61236 243,29466 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-01 7,568 7,558 32,01 32,01 242,25168 241,93158 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-02 7,435 7,425 31,73 31,73 235,91255 235,59525 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-05 7,41 7,4 31,73 31,73 235,1193 234,802 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-06 7,485 7,475 32,28 32,28 241,6158 241,293 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-07 7,43 7,42 32,44 32,44 241,0292 240,7048 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-08 7,498 7,488 32,42 32,42 243,08516 242,76096 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-09 7,523 7,513 32,55 32,55 244,87365 244,54815 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-12 7,555 7,545 32,65 32,65 246,67075 246,34425 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-13 7,57 7,56 32,35 32,35 244,8895 244,566 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-14 7,61 7,6 31,99 31,99 243,4439 243,124 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-15 7,658 7,648 31,92 31,92 244,44336 244,12416 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-16 7,613 7,603 32,16 32,16 244,83408 244,51248 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-19 7,698 7,688 31,95 31,95 245,9511 245,6316 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-20 7,688 7,678 31,59 31,59 242,86392 242,54802 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-21 7,663 7,653 31,88 31,88 244,29644 243,97764 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-22 7,648 7,638 31,89 31,89 243,89472 243,57582 950188 Fiduciary International Ireland Limited Fiduciary US Smaller Companies Fund USD 2005-09-23 7,733 7,723 31,91 31,91 246,76003 246,44093 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-06-16 9,2695 9,2645 10,74 10,74 99,55443 99,50073 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-06-17 9,2695 9,2645 10,92 10,92 101,22294 101,16834 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-06-20 9,2255 9,2205 10,93 10,93 100,834715 100,780065 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-06-21 9,2725 9,2675 11,02 11,02 102,18295 102,12785 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-06-22 9,2615 9,2565 10,96 10,96 101,50604 101,45124 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-06-23 9,3535 9,3485 10,91 10,91 102,046685 101,992135 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-06-27 9,3855 9,3805 10,56 10,56 99,11088 99,05808 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-06-28 9,3995 9,3945 10,86 10,86 102,07857 102,02427 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-06-29 9,4215 9,4165 10,92 10,92 102,88278 102,82818 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-06-30 9,4415 9,4365 10,89 10,89 102,817935 102,763485 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-01 9,4595 9,4545 10,91 10,91 103,203145 103,148595 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-04 9,4795 9,4745 10,96 10,96 103,89532 103,84052 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-05 9,4575 9,4525 10,93 10,93 103,370475 103,315825 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-06 9,4195 9,4145 10,71 10,71 100,882845 100,829295 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-07 9,3965 9,3915 10,6 10,6 99,6029 99,5499 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-08 9,4175 9,4125 10,73 10,73 101,049775 100,996125 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-11 9,4665 9,4615 10,72 10,72 101,48088 101,42728 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-12 9,4645 9,4595 10,85 10,85 102,689825 102,635575 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-13 9,3915 9,3865 11,04 11,04 103,68216 103,62696 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-14 9,3675 9,3625 11,11 11,11 104,072925 104,017375 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-15 9,4055 9,4005 11,14 11,14 104,77727 104,72157 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-18 9,3895 9,3845 11,01 11,01 103,378395 103,323345 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-19 9,4425 9,4375 11,03 11,03 104,150775 104,095625 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-20 9,4265 9,4215 10,96 10,96 103,31444 103,25964 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-21 9,4625 9,4575 11,09 11,09 104,939125 104,883675 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-22 9,4495 9,4445 11,06 11,06 104,51147 104,45617 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-25 9,4275 9,4225 10,72 10,72 101,0628 101,0092 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-26 9,4155 9,4105 10,36 10,36 97,54458 97,49278 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-27 9,4725 9,4675 10,6 10,6 100,4085 100,3555 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-28 9,4515 9,4465 10,76 10,76 101,69814 101,64434 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-07-29 9,3885 9,3835 11,07 11,07 103,930695 103,875345 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-01 9,3985 9,3935 11,06 11,06 103,94741 103,89211 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-02 9,3995 9,3945 11,23 11,23 105,556385 105,500235 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-03 9,3755 9,3705 11,5 11,5 107,81825 107,76075 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-04 9,3735 9,3685 11,45 11,45 107,326575 107,269325 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-05 9,3355 9,3305 11,66 11,66 108,85193 108,79363 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-08 9,3335 9,3285 11,54 11,54 107,70859 107,65089 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-09 9,3455 9,3405 11,48 11,48 107,28634 107,22894 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-10 9,3535 9,3485 11,83 11,83 110,651905 110,592755 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-11 9,3365 9,3315 11,63 11,63 108,583495 108,525345 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-12 9,3025 9,2975 11,06 11,06 102,88565 102,83035 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-15 9,3065 9,3015 11,4 11,4 106,0941 106,0371 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-16 9,2995 9,2945 11,67 11,67 108,525165 108,466815 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-17 9,3405 9,3355 11,52 11,52 107,60256 107,54496 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-18 9,3365 9,3315 11,67 11,67 108,956955 108,898605 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-19 9,3395 9,3345 11,28 11,28 105,34956 105,29316 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-22 9,3655 9,3605 11,12 11,12 104,14436 104,08876 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-23 9,3715 9,3665 11,37 11,37 106,553955 106,497105 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-24 9,3365 9,3315 11,13 11,13 103,915245 103,859595 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-25 9,3335 9,3285 11,13 11,13 103,881855 103,826205 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-26 9,3415 9,3365 11,35 11,35 106,026025 105,969275 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-29 9,3295 9,3245 11,32 11,32 105,60994 105,55334 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-30 9,3285 9,3235 11,5 11,5 107,27775 107,22025 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-08-31 9,3585 9,3535 11,55 11,55 108,090675 108,032925 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-01 9,3365 9,3315 11,61 11,61 108,396765 108,338715 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-02 9,3025 9,2975 11,57 11,57 107,629925 107,572075 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-05 9,2845 9,2795 11,84 11,84 109,92848 109,86928 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-06 9,3225 9,3175 11,93 11,93 111,217425 111,157775 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-07 9,3075 9,3025 12,07 12,07 112,341525 112,281175 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-08 9,3255 9,3205 12,07 12,07 112,558785 112,498435 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-09 9,3445 9,3395 12,12 12,12 113,25534 113,19474 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-12 9,3015 9,2965 12,44 12,44 115,71066 115,64846 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-13 9,3015 9,2965 12,4 12,4 115,3386 115,2766 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-14 9,3365 9,3315 12,28 12,28 114,65222 114,59082 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-15 9,3425 9,3375 12,35 12,35 115,379875 115,318125 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-16 9,3465 9,3415 12,66 12,66 118,32669 118,26339 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-19 9,3355 9,3305 12,96 12,96 120,98808 120,92328 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-20 9,3395 9,3345 13,03 13,03 121,693685 121,628535 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-21 9,3405 9,3355 12,99 12,99 121,333095 121,268145 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-22 9,3405 9,3355 13,35 13,35 124,695675 124,628925 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-23 9,3695 9,3645 13,42 13,42 125,73869 125,67159 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-26 9,3815 9,3765 13,61 13,61 127,682215 127,614165 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-27 9,3885 9,3835 13,61 13,61 127,777485 127,709435 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-28 9,3935 9,3885 13,58 13,58 127,56373 127,49583 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-29 9,3845 9,3795 13,91 13,91 130,538395 130,468845 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-09-30 9,3435 9,3385 13,91 13,91 129,968085 129,898535 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-03 9,3025 9,2975 14,08 14,08 130,9792 130,9088 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-04 9,3185 9,3135 14,26 14,26 132,88181 132,81051 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-05 9,3105 9,3055 13,84 13,84 128,85732 128,78812 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-06 9,3015 9,2965 13,23 13,23 123,058845 122,992695 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-07 9,3385 9,3335 12,89 12,89 120,373265 120,308815 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-10 9,3465 9,3415 13,34 13,34 124,68231 124,61561 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-11 9,3395 9,3345 13,51 13,51 126,176645 126,109095 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-12 9,3375 9,3325 13,62 13,62 127,17675 127,10865 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-13 9,3815 9,3765 13,49 13,49 126,556435 126,488985 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-14 9,4135 9,4085 13,28 13,28 125,01128 124,94488 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-17 9,4575 9,4525 13,3 13,3 125,78475 125,71825 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-18 9,4625 9,4575 13,55 13,55 128,216875 128,149125 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-19 9,4605 9,4555 13,05 13,05 123,459525 123,394275 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-20 9,4935 9,4885 13,25 13,25 125,788875 125,722625 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-21 9,4915 9,4865 12,66 12,66 120,16239 120,09909 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-24 9,5455 9,5405 13,03 13,03 124,377865 124,312715 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-25 9,5465 9,5415 13,14 13,14 125,44101 125,37531 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-26 9,4975 9,4925 12,86 12,86 122,13785 122,07355 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-27 9,5355 9,5305 12,94 12,94 123,38937 123,32467 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-28 9,5135 9,5085 12,74 12,74 121,20199 121,13829 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-10-31 9,5495 9,5445 13,21 13,21 126,148895 126,082845 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-01 9,5495 9,5445 13,55 13,55 129,395725 129,327975 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-02 9,5855 9,5805 13,7 13,7 131,32135 131,25285 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-03 9,6515 9,6465 13,89 13,89 134,059335 133,989885 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-04 9,5875 9,5825 13,95 13,95 133,745625 133,675875 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-07 9,6075 9,6025 14,3 14,3 137,38725 137,31575 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-08 9,5685 9,5635 14,22 14,22 136,06407 135,99297 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-09 9,5575 9,5525 14,45 14,45 138,105875 138,033625 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-10 9,6105 9,6055 14,42 14,42 138,58341 138,51131 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-11 9,6365 9,6315 14,57 14,57 140,403805 140,330955 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-14 9,5505 9,5455 14,15 14,15 135,139575 135,068825 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-15 9,5805 9,5755 14,28 14,28 136,80954 136,73814 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-16 9,6235 9,6185 14,29 14,29 137,519815 137,448365 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-17 9,6355 9,6305 14,57 14,57 140,389235 140,316385 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-18 9,6085 9,6035 14,48 14,48 139,13108 139,05868 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-21 9,5915 9,5865 14,39 14,39 138,021685 137,949735 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-22 9,5585 9,5535 14,15 14,15 135,252775 135,182025 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-23 9,5155 9,5105 14,45 14,45 137,498975 137,426725 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-24 9,5125 9,5075 14,63 14,63 139,167875 139,094725 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-25 9,4965 9,4915 14,64 14,64 139,02876 138,95556 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-28 9,4835 9,4785 15,06 15,06 142,82151 142,74621 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-29 9,4785 9,4735 14,73 14,73 139,618305 139,544655 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-11-30 9,5295 9,5245 14,8 14,8 141,0366 140,9626 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-01 9,5165 9,5115 15,05 15,05 143,223325 143,148075 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-02 9,4905 9,4855 15,43 15,43 146,438415 146,361265 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-05 9,4065 9,4015 15,32 15,32 144,10758 144,03098 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-07 9,4255 9,4205 15,86 15,86 149,48843 149,40913 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-08 9,3965 9,3915 15,5 15,5 145,64575 145,56825 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-12 9,4315 9,4265 14,93 14,93 140,812295 140,737645 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-13 9,4295 9,4245 15 15 141,4425 141,3675 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-14 9,4365 9,4315 15 15 141,5475 141,4725 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-15 9,4345 9,4295 14,96 14,96 141,14012 141,06532 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-16 9,4765 9,4715 14,74 14,74 139,68361 139,60991 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-19 9,4535 9,4485 14,53 14,53 137,359355 137,286705 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-20 9,4015 9,3965 14,62 14,62 137,44993 137,37683 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-21 9,4485 9,4435 15,09 15,09 142,577865 142,502415 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-22 9,4365 9,4315 15,22 15,22 143,62353 143,54743 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-23 9,4425 9,4375 15,01 15,01 141,731925 141,656875 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-27 9,4915 9,4865 15,05 15,05 142,847075 142,771825 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-28 9,4345 9,4295 14,87 14,87 140,291015 140,216665 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-29 9,4115 9,4065 15 15 141,1725 141,0975 135129 FIM Fondbolag Ab FIM Brazil Placeringsfond EUR 2005-12-30 9,4325 9,4275 15,23 15,23 143,656975 143,580825 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-03 9,0065 9,0015 9,92 9,92 89,34448 89,29488 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-04 9,0345 9,0295 9,84 9,84 88,89948 88,85028 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-05 9,0615 9,0565 9,65 9,65 87,443475 87,395225 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-07 9,0615 9,0565 9,59 9,59 86,899785 86,851835 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-10 9,08619 9,08119 9,63 9,63 87,5000097 87,4518597 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-11 9,08619 9,08119 9,63 9,63 87,5000097 87,4518597 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-12 9,0455 9,0405 9,63 9,63 87,108165 87,060015 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-13 9,0505 9,0455 9,62 9,62 87,06581 87,01771 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-14 9,0455 9,0405 9,56 9,56 86,47498 86,42718 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-17 9,0685 9,0635 9,72 9,72 88,14582 88,09722 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-18 9,0585 9,0535 9,74 9,74 88,22979 88,18109 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-19 9,0225 9,0175 9,81 9,81 88,510725 88,461675 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-20 9,0315 9,0265 9,74 9,74 87,96681 87,91811 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-21 9,0505 9,0455 9,67 9,67 87,518335 87,469985 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-24 9,0655 9,0605 9,62 9,62 87,21011 87,16201 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-25 9,0715 9,0665 9,66 9,66 87,63069 87,58239 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-26 9,0885 9,0835 9,75 9,75 88,612875 88,564125 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-27 9,0675 9,0625 9,75 9,75 88,408125 88,359375 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-28 9,0955 9,0905 9,75 9,75 88,681125 88,632375 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-01-31 9,1075 9,1025 9,85 9,85 89,708875 89,659625 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-01 9,1035 9,0985 9,8 9,8 89,2143 89,1653 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-02 9,0905 9,0855 9,8 9,8 89,0869 89,0379 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-03 9,0695 9,0645 9,87 9,87 89,515965 89,466615 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-04 9,0895 9,0845 9,89 9,89 89,895155 89,845705 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-07 9,0755 9,0705 9,99 9,99 90,664245 90,614295 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-08 9,0895 9,0845 10,01 10,01 90,985895 90,935845 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-09 9,0695 9,0645 10,01 10,01 90,785695 90,735645 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-10 9,0805 9,0755 10 10 90,805 90,755 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-11 9,0935 9,0885 9,98 9,98 90,75313 90,70323 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-14 9,1105 9,1055 10 10 91,105 91,055 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-15 9,0765 9,0715 10,01 10,01 90,855765 90,805715 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-16 9,0705 9,0655 10,02 10,02 90,88641 90,83631 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-17 9,0925 9,0875 9,98 9,98 90,74315 90,69325 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-18 9,0945 9,0895 10,05 10,05 91,399725 91,349475 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-21 9,1185 9,1135 10,07 10,07 91,823295 91,772945 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-22 9,0975 9,0925 10 10 90,975 90,925 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-23 9,1045 9,0995 10,01 10,01 91,136045 91,085995 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-24 9,0715 9,0665 10,05 10,05 91,168575 91,118325 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-25 9,0845 9,0795 10,12 10,12 91,93514 91,88454 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-02-28 9,0505 9,0455 10,13 10,13 91,681565 91,630915 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-01 9,0565 9,0515 10,15 10,15 91,923475 91,872725 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-02 9,0645 9,0595 10,05 10,05 91,098225 91,047975 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-03 9,0675 9,0625 10,07 10,07 91,309725 91,259375 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-04 9,0415 9,0365 9,98 9,98 90,23417 90,18427 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-07 9,0425 9,0375 10 10 90,425 90,375 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-08 9,0345 9,0295 10,02 10,02 90,52569 90,47559 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-09 9,0365 9,0315 10,08 10,08 91,08792 91,03752 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-10 9,0655 9,0605 10,01 10,01 90,745655 90,695605 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-11 9,0795 9,0745 9,99 9,99 90,704205 90,654255 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-14 9,0695 9,0645 9,97 9,97 90,422915 90,373065 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-15 9,1035 9,0985 9,84 9,84 89,57844 89,52924 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-16 9,0975 9,0925 9,84 9,84 89,5194 89,4702 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-17 9,1045 9,0995 9,82 9,82 89,40619 89,35709 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-18 9,1035 9,0985 9,83 9,83 89,487405 89,438255 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-21 9,1265 9,1215 9,79 9,79 89,348435 89,299485 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-22 9,1265 9,1215 9,66 9,66 88,16199 88,11369 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-23 9,1165 9,1115 9,59 9,59 87,427235 87,379285 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-24 9,1135 9,1085 9,6 9,6 87,4896 87,4416 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-29 9,1315 9,1265 9,54 9,54 87,11451 87,06681 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-30 9,1425 9,1375 9,54 9,54 87,21945 87,17175 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-03-31 9,1405 9,1355 9,58 9,58 87,56599 87,51809 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-01 9,1645 9,1595 9,62 9,62 88,16249 88,11439 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-04 9,1695 9,1645 9,64 9,64 88,39398 88,34578 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-05 9,1745 9,1695 9,65 9,65 88,533925 88,485675 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-06 9,1705 9,1655 9,67 9,67 88,678735 88,630385 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-07 9,1505 9,1455 9,65 9,65 88,302325 88,254075 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-08 9,1625 9,1575 9,72 9,72 89,0595 89,0109 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-11 9,1705 9,1655 9,65 9,65 88,495325 88,447075 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-12 9,1525 9,1475 9,64 9,64 88,2301 88,1819 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-13 9,1495 9,1445 9,71 9,71 88,841645 88,793095 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-14 9,1685 9,1635 9,68 9,68 88,75108 88,70268 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-15 9,1925 9,1875 9,53 9,53 87,604525 87,556875 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-18 9,1805 9,1755 9,26 9,26 85,01143 84,96513 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-19 9,2035 9,1985 9,3 9,3 85,59255 85,54605 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-20 9,1915 9,1865 9,31 9,31 85,572865 85,526315 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-21 9,1855 9,1805 9,28 9,28 85,24144 85,19504 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-22 9,1625 9,1575 9,33 9,33 85,486125 85,439475 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-25 9,1685 9,1635 9,35 9,35 85,725475 85,678725 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-26 9,1375 9,1325 9,43 9,43 86,166625 86,119475 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-27 9,1465 9,1415 9,44 9,44 86,34296 86,29576 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-28 9,1505 9,1455 9,46 9,46 86,56373 86,51643 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-04-29 9,1705 9,1655 9,38 9,38 86,01929 85,97239 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-02 9,1935 9,1885 9,39 9,39 86,326965 86,280015 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-03 9,2245 9,2195 9,43 9,43 86,987035 86,939885 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-04 9,1915 9,1865 9,43 9,43 86,675845 86,628695 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-06 9,1715 9,1665 9,58 9,58 87,86297 87,81507 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-09 9,1815 9,1765 9,61 9,61 88,234215 88,186165 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-10 9,1985 9,1935 9,62 9,62 88,48957 88,44147 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-11 9,2105 9,2055 9,56 9,56 88,05238 88,00458 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-12 9,2315 9,2265 9,57 9,57 88,345455 88,297605 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-13 9,2045 9,1995 9,57 9,57 88,087065 88,039215 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-16 9,2145 9,2095 9,52 9,52 87,72204 87,67444 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-17 9,2325 9,2275 9,4 9,4 86,7855 86,7385 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-18 9,2095 9,2045 9,45 9,45 87,029775 86,982525 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-19 9,1905 9,1855 9,52 9,52 87,49356 87,44596 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-20 9,1955 9,1905 9,55 9,55 87,817025 87,769275 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-23 9,1805 9,1755 9,48 9,48 87,03114 86,98374 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-24 9,1815 9,1765 9,46 9,46 86,85699 86,80969 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-25 9,1785 9,1735 9,44 9,44 86,64504 86,59784 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-26 9,1945 9,1895 9,48 9,48 87,16386 87,11646 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-27 9,1955 9,1905 9,55 9,55 87,817025 87,769275 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-30 9,1905 9,1855 9,63 9,63 88,504515 88,456365 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-05-31 9,1665 9,1615 9,69 9,69 88,823385 88,774935 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-01 9,1455 9,1405 9,72 9,72 88,89426 88,84566 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-02 9,1565 9,1515 9,7 9,7 88,81805 88,76955 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-03 9,1315 9,1265 9,73 9,73 88,849495 88,800845 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-07 9,1455 9,1405 9,75 9,75 89,168625 89,119875 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-08 9,1455 9,1405 9,76 9,76 89,26008 89,21128 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-09 9,1965 9,1915 9,73 9,73 89,481945 89,433295 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-10 9,1975 9,1925 9,78 9,78 89,95155 89,90265 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-13 9,2365 9,2315 9,9 9,9 91,44135 91,39185 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-14 9,2985 9,2935 9,86 9,86 91,68321 91,63391 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-15 9,2695 9,2645 9,88 9,88 91,58266 91,53326 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-16 9,2695 9,2645 9,86 9,86 91,39727 91,34797 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-17 9,2695 9,2645 9,86 9,86 91,39727 91,34797 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-20 9,2255 9,2205 9,9 9,9 91,33245 91,28295 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-21 9,2725 9,2675 9,98 9,98 92,53955 92,48965 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-22 9,2615 9,2565 10,05 10,05 93,078075 93,027825 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-23 9,3535 9,3485 10,12 10,12 94,65742 94,60682 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-27 9,3855 9,3805 9,99 9,99 93,761145 93,711195 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-28 9,3995 9,3945 10,06 10,06 94,55897 94,50867 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-29 9,4215 9,4165 10,07 10,07 94,874505 94,824155 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-06-30 9,4415 9,4365 9,99 9,99 94,320585 94,270635 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-01 9,4595 9,4545 10,01 10,01 94,689595 94,639545 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-04 9,4795 9,4745 10,08 10,08 95,55336 95,50296 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-05 9,4575 9,4525 10,05 10,05 95,047875 94,997625 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-06 9,4195 9,4145 10,04 10,04 94,57178 94,52158 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-07 9,3965 9,3915 9,96 9,96 93,58914 93,53934 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-08 9,4175 9,4125 9,89 9,89 93,139075 93,089625 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-11 9,4665 9,4615 9,95 9,95 94,191675 94,141925 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-12 9,4645 9,4595 9,94 9,94 94,07713 94,02743 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-13 9,3915 9,3865 10,03 10,03 94,196745 94,146595 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-14 9,3675 9,3625 10,08 10,08 94,4244 94,374 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-15 9,4055 9,4005 10,1 10,1 94,99555 94,94505 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-18 9,3895 9,3845 10,1 10,1 94,83395 94,78345 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-19 9,4425 9,4375 10,14 10,14 95,74695 95,69625 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-20 9,4265 9,4215 10,17 10,17 95,867505 95,816655 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-21 9,4625 9,4575 10,18 10,18 96,32825 96,27735 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-22 9,4495 9,4445 10,25 10,25 96,857375 96,806125 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-25 9,4275 9,4225 10,27 10,27 96,820425 96,769075 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-26 9,4155 9,4105 10,24 10,24 96,41472 96,36352 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-27 9,4725 9,4675 10,27 10,27 97,282575 97,231225 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-28 9,4515 9,4465 10,17 10,17 96,121755 96,070905 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-07-29 9,3885 9,3835 10,2 10,2 95,7627 95,7117 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-01 9,3985 9,3935 10,16 10,16 95,48876 95,43796 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-02 9,3995 9,3945 10,27 10,27 96,532865 96,481515 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-03 9,3755 9,3705 10,28 10,28 96,38014 96,32874 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-04 9,3735 9,3685 10,28 10,28 96,35958 96,30818 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-05 9,3355 9,3305 10,26 10,26 95,78223 95,73093 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-08 9,3335 9,3285 10,28 10,28 95,94838 95,89698 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-09 9,3455 9,3405 10,24 10,24 95,69792 95,64672 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-10 9,3535 9,3485 10,34 10,34 96,71519 96,66349 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-11 9,3365 9,3315 10,32 10,32 96,35268 96,30108 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-12 9,3025 9,2975 10,33 10,33 96,094825 96,043175 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-15 9,3065 9,3015 10,33 10,33 96,136145 96,084495 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-16 9,2995 9,2945 10,31 10,31 95,877845 95,826295 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-17 9,3405 9,3355 10,29 10,29 96,113745 96,062295 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-18 9,3365 9,3315 10,14 10,14 94,67211 94,62141 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-19 9,3395 9,3345 10,07 10,07 94,048765 93,998415 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-22 9,3655 9,3605 10,12 10,12 94,77886 94,72826 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-23 9,3715 9,3665 10,04 10,04 94,08986 94,03966 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-24 9,3365 9,3315 9,94 9,94 92,80481 92,75511 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-25 9,3335 9,3285 9,91 9,91 92,494985 92,445435 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-26 9,3415 9,3365 9,96 9,96 93,04134 92,99154 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-29 9,3295 9,3245 9,85 9,85 91,895575 91,846325 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-30 9,3285 9,3235 9,92 9,92 92,53872 92,48912 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-08-31 9,3585 9,3535 9,97 9,97 93,304245 93,254395 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-01 9,3365 9,3315 9,97 9,97 93,084905 93,035055 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-02 9,3025 9,2975 9,99 9,99 92,931975 92,882025 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-05 9,2845 9,2795 9,96 9,96 92,47362 92,42382 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-06 9,3225 9,3175 9,98 9,98 93,03855 92,98865 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-07 9,3075 9,3025 9,98 9,98 92,88885 92,83895 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-08 9,3255 9,3205 9,98 9,98 93,06849 93,01859 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-09 9,3445 9,3395 10,01 10,01 93,538445 93,488395 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-12 9,3015 9,2965 10,04 10,04 93,38706 93,33686 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-13 9,3015 9,2965 9,96 9,96 92,64294 92,59314 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-14 9,3365 9,3315 9,98 9,98 93,17827 93,12837 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-15 9,3425 9,3375 9,94 9,94 92,86445 92,81475 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-16 9,3465 9,3415 9,9 9,9 92,53035 92,48085 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-19 9,3355 9,3305 9,92 9,92 92,60816 92,55856 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-20 9,3395 9,3345 10,03 10,03 93,675185 93,625035 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-21 9,3405 9,3355 9,99 9,99 93,311595 93,261645 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-22 9,3405 9,3355 9,93 9,93 92,751165 92,701515 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-23 9,3695 9,3645 9,93 9,93 93,039135 92,989485 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-26 9,3815 9,3765 9,98 9,98 93,62737 93,57747 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-27 9,3885 9,3835 9,95 9,95 93,415575 93,365825 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-28 9,3935 9,3885 9,98 9,98 93,74713 93,69723 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-29 9,3845 9,3795 10,08 10,08 94,59576 94,54536 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-09-30 9,3435 9,3385 10,15 10,15 94,836525 94,785775 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-03 9,3025 9,2975 10,17 10,17 94,606425 94,555575 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-04 9,3185 9,3135 10,21 10,21 95,141885 95,090835 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-05 9,3105 9,3055 10,11 10,11 94,129155 94,078605 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-06 9,3015 9,2965 9,87 9,87 91,805805 91,756455 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-07 9,3385 9,3335 9,86 9,86 92,07761 92,02831 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-10 9,3465 9,3415 9,93 9,93 92,810745 92,761095 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-11 9,3395 9,3345 9,95 9,95 92,928025 92,878275 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-12 9,3375 9,3325 9,79 9,79 91,414125 91,365175 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-13 9,3815 9,3765 9,7 9,7 91,00055 90,95205 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-14 9,4135 9,4085 9,69 9,69 91,216815 91,168365 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-17 9,4575 9,4525 9,67 9,67 91,454025 91,405675 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-18 9,4625 9,4575 9,74 9,74 92,16475 92,11605 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-19 9,4605 9,4555 9,54 9,54 90,25317 90,20547 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-20 9,4935 9,4885 9,57 9,57 90,852795 90,804945 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-21 9,4915 9,4865 9,48 9,48 89,97942 89,93202 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-24 9,5455 9,5405 9,4 9,4 89,7277 89,6807 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-25 9,5465 9,5415 9,36 9,36 89,35524 89,30844 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-26 9,4975 9,4925 9,32 9,32 88,5167 88,4701 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-27 9,5355 9,5305 9,27 9,27 88,394085 88,347735 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-28 9,5135 9,5085 9,18 9,18 87,33393 87,28803 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-10-31 9,5495 9,5445 9,37 9,37 89,478815 89,431965 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-01 9,5495 9,5445 9,54 9,54 91,10223 91,05453 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-02 9,5855 9,5805 9,56 9,56 91,63738 91,58958 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-03 9,6515 9,6465 9,54 9,54 92,07531 92,02761 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-04 9,5875 9,5825 9,54 9,54 91,46475 91,41705 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-07 9,6075 9,6025 9,48 9,48 91,0791 91,0317 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-08 9,5685 9,5635 9,53 9,53 91,187805 91,140155 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-09 9,5575 9,5525 9,64 9,64 92,1343 92,0861 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-10 9,6105 9,6055 9,63 9,63 92,549115 92,500965 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-11 9,6365 9,6315 9,72 9,72 93,66678 93,61818 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-14 9,5505 9,5455 9,64 9,64 92,06682 92,01862 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-15 9,5805 9,5755 9,66 9,66 92,54763 92,49933 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-16 9,6235 9,6185 9,66 9,66 92,96301 92,91471 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-17 9,6355 9,6305 9,68 9,68 93,27164 93,22324 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-18 9,6085 9,6035 9,79 9,79 94,067215 94,018265 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-21 9,5915 9,5865 9,73 9,73 93,325295 93,276645 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-22 9,5585 9,5535 9,72 9,72 92,90862 92,86002 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-23 9,5155 9,5105 9,79 9,79 93,156745 93,107795 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-24 9,5125 9,5075 9,83 9,83 93,507875 93,458725 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-25 9,4965 9,4915 9,85 9,85 93,540525 93,491275 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-28 9,4835 9,4785 9,9 9,9 93,88665 93,83715 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-29 9,4785 9,4735 9,82 9,82 93,07887 93,02977 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-11-30 9,5295 9,5245 9,87 9,87 94,056165 94,006815 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-01 9,5165 9,5115 9,94 9,94 94,59401 94,54431 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-02 9,4905 9,4855 9,97 9,97 94,620285 94,570435 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-05 9,4065 9,4015 10 10 94,065 94,015 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-07 9,4255 9,4205 9,93 9,93 93,595215 93,545565 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-08 9,3965 9,3915 9,85 9,85 92,555525 92,506275 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-12 9,4315 9,4265 9,79 9,79 92,334385 92,285435 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-13 9,4295 9,4245 9,82 9,82 92,59769 92,54859 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-14 9,4365 9,4315 9,81 9,81 92,572065 92,523015 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-15 9,4345 9,4295 9,89 9,89 93,307205 93,257755 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-16 9,4765 9,4715 9,92 9,92 94,00688 93,95728 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-19 9,4535 9,4485 9,96 9,96 94,15686 94,10706 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-20 9,4015 9,3965 10,01 10,01 94,109015 94,058965 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-21 9,4485 9,4435 10,09 10,09 95,335365 95,284915 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-22 9,4365 9,4315 10,06 10,06 94,93119 94,88089 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-23 9,4425 9,4375 10,11 10,11 95,463675 95,413125 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-27 9,4915 9,4865 10,11 10,11 95,959065 95,908515 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-28 9,4345 9,4295 10,09 10,09 95,194105 95,143655 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-29 9,4115 9,4065 10,16 10,16 95,62084 95,57004 118182 FIM Fondbolag Ab FIM China Placeringsfond EUR 2005-12-30 9,4325 9,4275 10,15 10,15 95,739875 95,689125 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-06-16 9,2695 9,2645 12,93 12,93 119,854635 119,789985 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-06-17 9,2695 9,2645 12,93 12,93 119,854635 119,789985 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-06-20 9,2255 9,2205 12,92 12,92 119,19346 119,12886 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-06-21 9,2725 9,2675 13,04 13,04 120,9134 120,8482 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-06-22 9,2615 9,2565 13,06 13,06 120,95519 120,88989 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-06-23 9,3535 9,3485 13,06 13,06 122,15671 122,09141 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-06-27 9,3855 9,3805 12,88 12,88 120,88524 120,82084 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-06-28 9,3995 9,3945 13 13 122,1935 122,1285 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-06-29 9,4215 9,4165 13,12 13,12 123,61008 123,54448 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-06-30 9,4415 9,4365 13,1 13,1 123,68365 123,61815 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-01 9,4595 9,4545 13,3 13,3 125,81135 125,74485 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-04 9,4795 9,4745 13,41 13,41 127,120095 127,053045 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-05 9,4575 9,4525 13,37 13,37 126,446775 126,379925 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-06 9,4195 9,4145 13,41 13,41 126,315495 126,248445 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-07 9,3965 9,3915 13,26 13,26 124,59759 124,53129 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-08 9,4175 9,4125 13,4 13,4 126,1945 126,1275 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-11 9,4665 9,4615 13,33 13,33 126,188445 126,121795 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-12 9,4645 9,4595 13,35 13,35 126,351075 126,284325 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-13 9,3915 9,3865 13,42 13,42 126,03393 125,96683 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-14 9,3675 9,3625 13,48 13,48 126,2739 126,2065 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-15 9,4055 9,4005 13,51 13,51 127,068305 127,000755 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-18 9,3895 9,3845 13,49 13,49 126,664355 126,596905 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-19 9,4425 9,4375 13,5 13,5 127,47375 127,40625 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-20 9,4265 9,4215 13,49 13,49 127,163485 127,096035 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-21 9,4625 9,4575 13,59 13,59 128,595375 128,527425 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-22 9,4495 9,4445 13,57 13,57 128,229715 128,161865 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-25 9,4275 9,4225 13,68 13,68 128,9682 128,8998 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-26 9,4155 9,4105 13,59 13,59 127,956645 127,888695 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-27 9,4725 9,4675 13,78 13,78 130,53105 130,46215 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-28 9,4515 9,4465 13,83 13,83 130,714245 130,645095 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-07-29 9,3885 9,3835 13,96 13,96 131,06346 130,99366 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-01 9,3985 9,3935 14,1 14,1 132,51885 132,44835 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-02 9,3995 9,3945 14,16 14,16 133,09692 133,02612 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-03 9,3755 9,3705 14,13 14,13 132,475815 132,405165 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-04 9,3735 9,3685 14,24 14,24 133,47864 133,40744 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-05 9,3355 9,3305 14,15 14,15 132,097325 132,026575 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-08 9,3335 9,3285 14,33 14,33 133,749055 133,677405 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-09 9,3455 9,3405 14,33 14,33 133,921015 133,849365 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-10 9,3535 9,3485 14,27 14,27 133,474445 133,403095 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-11 9,3365 9,3315 14,16 14,16 132,20484 132,13404 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-12 9,3025 9,2975 13,79 13,79 128,281475 128,212525 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-15 9,3065 9,3015 13,81 13,81 128,522765 128,453715 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-16 9,2995 9,2945 13,95 13,95 129,728025 129,658275 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-17 9,3405 9,3355 13,86 13,86 129,45933 129,39003 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-18 9,3365 9,3315 13,81 13,81 128,937065 128,868015 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-19 9,3395 9,3345 13,83 13,83 129,165285 129,096135 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-22 9,3655 9,3605 13,93 13,93 130,461415 130,391765 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-23 9,3715 9,3665 13,96 13,96 130,82614 130,75634 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-24 9,3365 9,3315 14,06 14,06 131,27119 131,20089 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-25 9,3335 9,3285 14,1 14,1 131,60235 131,53185 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-26 9,3415 9,3365 14,12 14,12 131,90198 131,83138 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-29 9,3295 9,3245 14,12 14,12 131,73254 131,66194 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-30 9,3285 9,3235 14,26 14,26 133,02441 132,95311 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-08-31 9,3585 9,3535 14,45 14,45 135,230325 135,158075 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-01 9,3365 9,3315 14,78 14,78 137,99347 137,91957 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-02 9,3025 9,2975 15,04 15,04 139,9096 139,8344 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-05 9,2845 9,2795 14,97 14,97 138,988965 138,914115 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-06 9,3225 9,3175 14,97 14,97 139,557825 139,482975 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-07 9,3075 9,3025 15 15 139,6125 139,5375 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-08 9,3255 9,3205 15,05 15,05 140,348775 140,273525 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-09 9,3445 9,3395 15,3 15,3 142,97085 142,89435 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-12 9,3015 9,2965 15,44 15,44 143,61516 143,53796 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-13 9,3015 9,2965 15,44 15,44 143,61516 143,53796 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-14 9,3365 9,3315 15,42 15,42 143,96883 143,89173 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-15 9,3425 9,3375 15,76 15,76 147,2378 147,159 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-16 9,3465 9,3415 15,91 15,91 148,702815 148,623265 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-19 9,3355 9,3305 16,03 16,03 149,648065 149,567915 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-20 9,3395 9,3345 16,17 16,17 151,019715 150,938865 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-21 9,3405 9,3355 16 16 149,448 149,368 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-22 9,3405 9,3355 15,98 15,98 149,26119 149,18129 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-23 9,3695 9,3645 15,96 15,96 149,53722 149,45742 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-26 9,3815 9,3765 16,1 16,1 151,04215 150,96165 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-27 9,3885 9,3835 16,2 16,2 152,0937 152,0127 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-28 9,3935 9,3885 16,18 16,18 151,98683 151,90593 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-29 9,3845 9,3795 16,13 16,13 151,371985 151,291335 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-09-30 9,3435 9,3385 16,05 16,05 149,963175 149,882925 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-03 9,3025 9,2975 16,25 16,25 151,165625 151,084375 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-04 9,3185 9,3135 16,5 16,5 153,75525 153,67275 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-05 9,3105 9,3055 16,43 16,43 152,971515 152,889365 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-06 9,3015 9,2965 15,86 15,86 147,52179 147,44249 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-07 9,3385 9,3335 15,9 15,9 148,48215 148,40265 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-10 9,3465 9,3415 16,07 16,07 150,198255 150,117905 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-11 9,3395 9,3345 16,23 16,23 151,580085 151,498935 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-12 9,3375 9,3325 16,08 16,08 150,147 150,0666 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-13 9,3815 9,3765 15,53 15,53 145,694695 145,617045 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-14 9,4135 9,4085 15,34 15,34 144,40309 144,32639 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-17 9,4575 9,4525 15,45 15,45 146,118375 146,041125 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-18 9,4625 9,4575 15,56 15,56 147,2365 147,1587 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-19 9,4605 9,4555 15,03 15,03 142,191315 142,116165 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-20 9,4935 9,4885 15,15 15,15 143,826525 143,750775 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-21 9,4915 9,4865 15,06 15,06 142,94199 142,86669 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-24 9,5455 9,5405 15,13 15,13 144,423415 144,347765 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-25 9,5465 9,5415 15,22 15,22 145,29773 145,22163 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-26 9,4975 9,4925 15,24 15,24 144,7419 144,6657 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-27 9,5355 9,5305 15,02 15,02 143,22321 143,14811 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-28 9,5135 9,5085 15,01 15,01 142,797635 142,722585 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-10-31 9,5495 9,5445 15,38 15,38 146,87131 146,79441 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-01 9,5495 9,5445 15,21 15,21 145,247895 145,171845 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-02 9,5855 9,5805 15,4 15,4 147,6167 147,5397 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-03 9,6515 9,6465 15,5 15,5 149,59825 149,52075 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-04 9,5875 9,5825 15,56 15,56 149,1815 149,1037 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-07 9,6075 9,6025 15,59 15,59 149,780925 149,702975 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-08 9,5685 9,5635 15,66 15,66 149,84271 149,76441 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-09 9,5575 9,5525 15,67 15,67 149,766025 149,687675 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-10 9,6105 9,6055 15,66 15,66 150,50043 150,42213 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-11 9,6365 9,6315 15,62 15,62 150,52213 150,44403 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-14 9,5505 9,5455 15,61 15,61 149,083305 149,005255 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-15 9,5805 9,5755 15,63 15,63 149,743215 149,665065 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-16 9,6235 9,6185 15,73 15,73 151,377655 151,299005 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-17 9,6355 9,6305 15,91 15,91 153,300805 153,221255 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-18 9,6085 9,6035 15,93 15,93 153,063405 152,983755 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-21 9,5915 9,5865 15,88 15,88 152,31302 152,23362 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-22 9,5585 9,5535 15,84 15,84 151,40664 151,32744 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-23 9,5155 9,5105 16 16 152,248 152,168 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-24 9,5125 9,5075 16,09 16,09 153,056125 152,975675 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-25 9,4965 9,4915 16,26 16,26 154,41309 154,33179 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-28 9,4835 9,4785 16,35 16,35 155,055225 154,973475 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-29 9,4785 9,4735 16,38 16,38 155,25783 155,17593 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-11-30 9,5295 9,5245 16,33 16,33 155,616735 155,535085 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-01 9,5165 9,5115 16,32 16,32 155,30928 155,22768 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-02 9,4905 9,4855 16,53 16,53 156,877965 156,795315 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-05 9,4065 9,4015 16,54 16,54 155,58351 155,50081 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-07 9,4255 9,4205 16,44 16,44 154,95522 154,87302 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-08 9,3965 9,3915 16,41 16,41 154,196565 154,114515 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-12 9,4315 9,4265 16,5 16,5 155,61975 155,53725 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-13 9,4295 9,4245 16,5 16,5 155,58675 155,50425 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-14 9,4365 9,4315 16,47 16,47 155,419155 155,336805 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-15 9,4345 9,4295 16,4 16,4 154,7258 154,6438 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-16 9,4765 9,4715 16,42 16,42 155,60413 155,52203 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-19 9,4535 9,4485 16,56 16,56 156,54996 156,46716 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-20 9,4015 9,3965 16,63 16,63 156,346945 156,263795 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-21 9,4485 9,4435 16,65 16,65 157,317525 157,234275 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-22 9,4365 9,4315 16,71 16,71 157,683915 157,600365 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-23 9,4425 9,4375 16,86 16,86 159,20055 159,11625 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-27 9,4915 9,4865 17,06 17,06 161,92499 161,83969 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-28 9,4345 9,4295 17,07 17,07 161,046915 160,961565 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-29 9,4115 9,4065 17,23 17,23 162,160145 162,073995 999292 FIM Fondbolag Ab FIM Emerging Europe Placeringsfond EUR 2005-12-30 9,4325 9,4275 17,27 17,27 162,899275 162,812925 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-03 9,0065 9,0015 97 97 873,6305 873,1455 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-04 9,0345 9,0295 96,64 96,64 873,09408 872,61088 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-05 9,0615 9,0565 96,34 96,34 872,98491 872,50321 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-07 9,0615 9,0565 96,74 96,74 876,60951 876,12581 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-10 9,08619 9,08119 96,77 96,77 879,2706063 878,7867563 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-11 9,08619 9,08119 96,49 96,49 876,7264731 876,2440231 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-12 9,0455 9,0405 96,29 96,29 870,991195 870,509745 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-13 9,0505 9,0455 96,61 96,61 874,368805 873,885755 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-14 9,0455 9,0405 95,32 95,32 862,21706 861,74046 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-17 9,0685 9,0635 96,31 96,31 873,387235 872,905685 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-18 9,0585 9,0535 96,16 96,16 871,06536 870,58456 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-19 9,0225 9,0175 96,68 96,68 872,2953 871,8119 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-20 9,0315 9,0265 94,6 94,6 854,3799 853,9069 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-21 9,0505 9,0455 94,74 94,74 857,44437 856,97067 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-24 9,0655 9,0605 94,57 94,57 857,324335 856,851485 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-25 9,0715 9,0665 94,56 94,56 857,80104 857,32824 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-26 9,0885 9,0835 95,13 95,13 864,589005 864,113355 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-27 9,0675 9,0625 96,74 96,74 877,18995 876,70625 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-28 9,0955 9,0905 96,6 96,6 878,6253 878,1423 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-01-31 9,1075 9,1025 96,79 96,79 881,514925 881,030975 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-01 9,1035 9,0985 97,85 97,85 890,777475 890,288225 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-02 9,0905 9,0855 98,69 98,69 897,141445 896,647995 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-03 9,0695 9,0645 98,95 98,95 897,427025 896,932275 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-04 9,0895 9,0845 99,22 99,22 901,86019 901,36409 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-07 9,0755 9,0705 100,26 100,26 909,90963 909,40833 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-08 9,0895 9,0845 100,44 100,44 912,94938 912,44718 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-09 9,0695 9,0645 100,88 100,88 914,93116 914,42676 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-10 9,0805 9,0755 99,24 99,24 901,14882 900,65262 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-11 9,0935 9,0885 99,51 99,51 904,894185 904,396635 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-14 9,1105 9,1055 99,92 99,92 910,32116 909,82156 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-15 9,0765 9,0715 101,09 101,09 917,543385 917,037935 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-16 9,0705 9,0655 100,82 100,82 914,48781 913,98371 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-17 9,0925 9,0875 101,58 101,58 923,61615 923,10825 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-18 9,0945 9,0895 101,49 101,49 923,000805 922,493355 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-21 9,1185 9,1135 101,47 101,47 925,254195 924,746845 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-22 9,0975 9,0925 100,72 100,72 916,3002 915,7966 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-23 9,1045 9,0995 101,16 101,16 921,01122 920,50542 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-24 9,0715 9,0665 101,4 101,4 919,8501 919,3431 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-25 9,0845 9,0795 101,92 101,92 925,89224 925,38264 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-02-28 9,0505 9,0455 102,55 102,55 928,128775 927,616025 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-01 9,0565 9,0515 102,13 102,13 924,940345 924,429695 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-02 9,0645 9,0595 102,54 102,54 929,47383 928,96113 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-03 9,0675 9,0625 102,17 102,17 926,426475 925,915625 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-04 9,0415 9,0365 102,77 102,77 929,194955 928,681105 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-07 9,0425 9,0375 103,71 103,71 937,797675 937,279125 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-08 9,0345 9,0295 103,51 103,51 935,161095 934,643545 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-09 9,0365 9,0315 103,78 103,78 937,80797 937,28907 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-10 9,0655 9,0605 103,12 103,12 934,83436 934,31876 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-11 9,0795 9,0745 103,38 103,38 938,63871 938,12181 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-14 9,0695 9,0645 103,27 103,27 936,607265 936,090915 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-15 9,1035 9,0985 103,12 103,12 938,75292 938,23732 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-16 9,0975 9,0925 101,96 101,96 927,5811 927,0713 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-17 9,1045 9,0995 100,84 100,84 918,09778 917,59358 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-18 9,1035 9,0985 100,94 100,94 918,90729 918,40259 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-21 9,1265 9,1215 100,94 100,94 921,22891 920,72421 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-22 9,1265 9,1215 100,36 100,36 915,93554 915,43374 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-23 9,1165 9,1115 99,28 99,28 905,08612 904,58972 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-24 9,1135 9,1085 99,43 99,43 906,155305 905,658155 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-29 9,1315 9,1265 99,46 99,46 908,21899 907,72169 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-30 9,1425 9,1375 99,14 99,14 906,38745 905,89175 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-03-31 9,1405 9,1355 100,16 100,16 915,51248 915,01168 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-01 9,1645 9,1595 100,51 100,51 921,123895 920,621345 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-04 9,1695 9,1645 99,46 99,46 911,99847 911,50117 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-05 9,1745 9,1695 99,4 99,4 911,9453 911,4483 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-06 9,1705 9,1655 100,29 100,29 919,709445 919,207995 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-07 9,1505 9,1455 101,13 101,13 925,390065 924,884415 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-08 9,1625 9,1575 102,25 102,25 936,865625 936,354375 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-11 9,1705 9,1655 102,06 102,06 935,94123 935,43093 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-12 9,1525 9,1475 102,02 102,02 933,73805 933,22795 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-13 9,1495 9,1445 102,24 102,24 935,44488 934,93368 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-14 9,1685 9,1635 102,22 102,22 937,20407 936,69297 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-15 9,1925 9,1875 100,97 100,97 928,166725 927,661875 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-18 9,1805 9,1755 99,4 99,4 912,5417 912,0447 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-19 9,2035 9,1985 99,81 99,81 918,601335 918,102285 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-20 9,1915 9,1865 100,15 100,15 920,528725 920,027975 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-21 9,1855 9,1805 100,59 100,59 923,969445 923,466495 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-22 9,1625 9,1575 101,2 101,2 927,245 926,739 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-25 9,1685 9,1635 100,67 100,67 922,992895 922,489545 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-26 9,1375 9,1325 99,14 99,14 905,89175 905,39605 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-27 9,1465 9,1415 97,15 97,15 888,582475 888,096725 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-28 9,1505 9,1455 96,58 96,58 883,75529 883,27239 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-04-29 9,1705 9,1655 96,55 96,55 885,411775 884,929025 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-02 9,1935 9,1885 96,75 96,75 889,471125 888,987375 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-03 9,2245 9,2195 96,26 96,26 887,95037 887,46907 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-04 9,1915 9,1865 96,68 96,68 888,63422 888,15082 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-06 9,1715 9,1665 97,23 97,23 891,744945 891,258795 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-09 9,1815 9,1765 98,12 98,12 900,88878 900,39818 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-10 9,1985 9,1935 97,99 97,99 901,361015 900,871065 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-11 9,2105 9,2055 98,05 98,05 903,089525 902,599275 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-12 9,2315 9,2265 98,25 98,25 906,994875 906,503625 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-13 9,2045 9,1995 98,4 98,4 905,7228 905,2308 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-16 9,2145 9,2095 98,6 98,6 908,5497 908,0567 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-17 9,2325 9,2275 98,55 98,55 909,862875 909,370125 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-18 9,2095 9,2045 100,23 100,23 923,068185 922,567035 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-19 9,1905 9,1855 100,74 100,74 925,85097 925,34727 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-20 9,1955 9,1905 101,09 101,09 929,573095 929,067645 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-23 9,1805 9,1755 101,54 101,54 932,18797 931,68027 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-24 9,1815 9,1765 101,25 101,25 929,626875 929,120625 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-25 9,1785 9,1735 101,49 101,49 931,525965 931,018515 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-26 9,1945 9,1895 101,4 101,4 932,3223 931,8153 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-27 9,1955 9,1905 101,76 101,76 935,73408 935,22528 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-30 9,1905 9,1855 101,95 101,95 936,971475 936,461725 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-05-31 9,1665 9,1615 101,83 101,83 933,424695 932,915545 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-01 9,1455 9,1405 102,09 102,09 933,664095 933,153645 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-02 9,1565 9,1515 102,59 102,59 939,365335 938,852385 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-03 9,1315 9,1265 102,59 102,59 936,800585 936,287635 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-07 9,1455 9,1405 102,56 102,56 937,96248 937,44968 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-08 9,1455 9,1405 102,81 102,81 940,248855 939,734805 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-09 9,1965 9,1915 103,13 103,13 948,435045 947,919395 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-10 9,1975 9,1925 104,24 104,24 958,7474 958,2262 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-13 9,2365 9,2315 105,33 105,33 972,880545 972,353895 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-14 9,2985 9,2935 105,11 105,11 977,365335 976,839785 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-15 9,2695 9,2645 105,39 105,39 976,912605 976,385655 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-16 9,2695 9,2645 105,2 105,2 975,1514 974,6254 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-17 9,2695 9,2645 105,78 105,78 980,52771 979,99881 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-20 9,2255 9,2205 105,61 105,61 974,305055 973,777005 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-21 9,2725 9,2675 105,76 105,76 980,6596 980,1308 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-22 9,2615 9,2565 106,32 106,32 984,68268 984,15108 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-23 9,3535 9,3485 106,52 106,52 996,33482 995,80222 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-27 9,3855 9,3805 105,17 105,17 987,073035 986,547185 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-28 9,3995 9,3945 105,43 105,43 990,989285 990,462135 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-29 9,4215 9,4165 105,76 105,76 996,41784 995,88904 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-06-30 9,4415 9,4365 105,84 105,84 999,28836 998,75916 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-01 9,4595 9,4545 105,45 105,45 997,504275 996,977025 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-04 9,4795 9,4745 106,4 106,4 1008,6188 1008,0868 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-05 9,4575 9,4525 106,35 106,35 1005,805125 1005,273375 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-06 9,4195 9,4145 107,27 107,27 1010,429765 1009,893415 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-07 9,3965 9,3915 105,89 105,89 994,995385 994,465935 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-08 9,4175 9,4125 107,72 107,72 1014,4531 1013,9145 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-11 9,4665 9,4615 108,76 108,76 1029,57654 1029,03274 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-12 9,4645 9,4595 108,69 108,69 1028,696505 1028,153055 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-13 9,3915 9,3865 108,79 108,79 1021,701285 1021,157335 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-14 9,3675 9,3625 109,21 109,21 1023,024675 1022,478625 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-15 9,4055 9,4005 108,82 108,82 1023,50651 1022,96241 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-18 9,3895 9,3845 109,54 109,54 1028,52583 1027,97813 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-19 9,4425 9,4375 109,5 109,5 1033,95375 1033,40625 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-20 9,4265 9,4215 109,38 109,38 1031,07057 1030,52367 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-21 9,4625 9,4575 108,54 108,54 1027,05975 1026,51705 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-22 9,4495 9,4445 108,98 108,98 1029,80651 1029,26161 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-25 9,4275 9,4225 108,68 108,68 1024,5807 1024,0373 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-26 9,4155 9,4105 108,85 108,85 1024,877175 1024,332925 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-27 9,4725 9,4675 108,73 108,73 1029,944925 1029,401275 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-28 9,4515 9,4465 109,53 109,53 1035,222795 1034,675145 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-07-29 9,3885 9,3835 109,65 109,65 1029,449025 1028,900775 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-01 9,3985 9,3935 109,8 109,8 1031,9553 1031,4063 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-02 9,3995 9,3945 109,89 109,89 1032,911055 1032,361605 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-03 9,3755 9,3705 110,52 110,52 1036,18026 1035,62766 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-04 9,3735 9,3685 110,52 110,52 1035,95922 1035,40662 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-05 9,3355 9,3305 109,91 109,91 1026,064805 1025,515255 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-08 9,3335 9,3285 110,06 110,06 1027,24501 1026,69471 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-09 9,3455 9,3405 110,11 110,11 1029,033005 1028,482455 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-10 9,3535 9,3485 110,24 110,24 1031,12984 1030,57864 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-11 9,3365 9,3315 110,04 110,04 1027,38846 1026,83826 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-12 9,3025 9,2975 110,11 110,11 1024,298275 1023,747725 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-15 9,3065 9,3015 110,22 110,22 1025,76243 1025,21133 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-16 9,2995 9,2945 110,33 110,33 1026,013835 1025,462185 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-17 9,3405 9,3355 109,83 109,83 1025,867115 1025,317965 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-18 9,3365 9,3315 110,52 110,52 1031,86998 1031,31738 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-19 9,3395 9,3345 111,33 111,33 1039,766535 1039,209885 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-22 9,3655 9,3605 112,57 112,57 1054,274335 1053,711485 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-23 9,3715 9,3665 112,89 112,89 1057,948635 1057,384185 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-24 9,3365 9,3315 112,15 112,15 1047,088475 1046,527725 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-25 9,3335 9,3285 111,41 111,41 1039,845235 1039,288185 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-26 9,3415 9,3365 111,34 111,34 1040,08261 1039,52591 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-29 9,3295 9,3245 110,34 110,34 1029,41703 1028,86533 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-30 9,3285 9,3235 111,46 111,46 1039,75461 1039,19731 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-08-31 9,3585 9,3535 112,67 112,67 1054,422195 1053,858845 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-01 9,3365 9,3315 113,87 113,87 1063,147255 1062,577905 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-02 9,3025 9,2975 113,98 113,98 1060,29895 1059,72905 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-05 9,2845 9,2795 114,17 114,17 1060,011365 1059,440515 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-06 9,3225 9,3175 115 115 1072,0875 1071,5125 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-07 9,3075 9,3025 115,75 115,75 1077,343125 1076,764375 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-08 9,3255 9,3205 116,28 116,28 1084,36914 1083,78774 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-09 9,3445 9,3395 116,36 116,36 1087,32602 1086,74422 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-12 9,3015 9,2965 117,57 117,57 1093,577355 1092,989505 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-13 9,3015 9,2965 117,76 117,76 1095,34464 1094,75584 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-14 9,3365 9,3315 118,1 118,1 1102,64065 1102,05015 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-15 9,3425 9,3375 118,91 118,91 1110,916675 1110,322125 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-16 9,3465 9,3415 118,74 118,74 1109,80341 1109,20971 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-19 9,3355 9,3305 119,01 119,01 1111,017855 1110,422805 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-20 9,3395 9,3345 119,56 119,56 1116,63062 1116,03282 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-21 9,3405 9,3355 119,31 119,31 1114,415055 1113,818505 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-22 9,3405 9,3355 119,52 119,52 1116,37656 1115,77896 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-23 9,3695 9,3645 119,09 119,09 1115,813755 1115,218305 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-26 9,3815 9,3765 119,52 119,52 1121,27688 1120,67928 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-27 9,3885 9,3835 119,85 119,85 1125,211725 1124,612475 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-28 9,3935 9,3885 119,8 119,8 1125,3413 1124,7423 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-29 9,3845 9,3795 120,52 120,52 1131,01994 1130,41734 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-09-30 9,3435 9,3385 120,77 120,77 1128,414495 1127,810645 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-03 9,3025 9,2975 121,51 121,51 1130,346775 1129,739225 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-04 9,3185 9,3135 121,55 121,55 1132,663675 1132,055925 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-05 9,3105 9,3055 121,04 121,04 1126,94292 1126,33772 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-06 9,3015 9,2965 118,78 118,78 1104,83217 1104,23827 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-07 9,3385 9,3335 118,95 118,95 1110,814575 1110,219825 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-10 9,3465 9,3415 119,62 119,62 1118,02833 1117,43023 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-11 9,3395 9,3345 118,76 118,76 1109,15902 1108,56522 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-12 9,3375 9,3325 117,99 117,99 1101,731625 1101,141675 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-13 9,3815 9,3765 115,51 115,51 1083,657065 1083,079515 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-14 9,4135 9,4085 114,09 114,09 1073,986215 1073,415765 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-17 9,4575 9,4525 115,31 115,31 1090,544325 1089,967775 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-18 9,4625 9,4575 114,97 114,97 1087,903625 1087,328775 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-19 9,4605 9,4555 111,78 111,78 1057,49469 1056,93579 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-20 9,4935 9,4885 112,49 112,49 1067,923815 1067,361365 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-21 9,4915 9,4865 110,14 110,14 1045,39381 1044,84311 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-24 9,5455 9,5405 111,1 111,1 1060,50505 1059,94955 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-25 9,5465 9,5415 111,76 111,76 1066,91684 1066,35804 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-26 9,4975 9,4925 112,91 112,91 1072,362725 1071,798175 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-27 9,5355 9,5305 112,94 112,94 1076,93937 1076,37467 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-28 9,5135 9,5085 111,46 111,46 1060,37471 1059,81741 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-10-31 9,5495 9,5445 113,32 113,32 1082,14934 1081,58274 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-01 9,5495 9,5445 115,15 115,15 1099,624925 1099,049175 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-02 9,5855 9,5805 115,27 115,27 1104,920585 1104,344235 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-03 9,6515 9,6465 115,45 115,45 1114,265675 1113,688425 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-04 9,5875 9,5825 116,36 116,36 1115,6015 1115,0197 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-07 9,6075 9,6025 115,97 115,97 1114,181775 1113,601925 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-08 9,5685 9,5635 115,52 115,52 1105,35312 1104,77552 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-09 9,5575 9,5525 115,71 115,71 1105,898325 1105,319775 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-10 9,6105 9,6055 115,71 115,71 1112,030955 1111,452405 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-11 9,6365 9,6315 115,58 115,58 1113,78667 1113,20877 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-14 9,5505 9,5455 116,19 116,19 1109,672595 1109,091645 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-15 9,5805 9,5755 114,2 114,2 1094,0931 1093,5221 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-16 9,6235 9,6185 113,58 113,58 1093,03713 1092,46923 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-17 9,6355 9,6305 114,4 114,4 1102,3012 1101,7292 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-18 9,6085 9,6035 115,05 115,05 1105,457925 1104,882675 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-21 9,5915 9,5865 115,08 115,08 1103,78982 1103,21442 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-22 9,5585 9,5535 115,57 115,57 1104,675845 1104,097995 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-23 9,5155 9,5105 116,16 116,16 1105,32048 1104,73968 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-24 9,5125 9,5075 116,45 116,45 1107,730625 1107,148375 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-25 9,4965 9,4915 117,04 117,04 1111,47036 1110,88516 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-28 9,4835 9,4785 117,14 117,14 1110,89719 1110,31149 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-29 9,4785 9,4735 116,23 116,23 1101,686055 1101,104905 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-11-30 9,5295 9,5245 116,28 116,28 1108,09026 1107,50886 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-01 9,5165 9,5115 116,77 116,77 1111,241705 1110,657855 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-02 9,4905 9,4855 118,81 118,81 1127,566305 1126,972255 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-05 9,4065 9,4015 119,33 119,33 1122,477645 1121,880995 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-07 9,4255 9,4205 121,28 121,28 1143,12464 1142,51824 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-08 9,3965 9,3915 120,77 120,77 1134,815305 1134,211455 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-12 9,4315 9,4265 121,53 121,53 1146,210195 1145,602545 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-13 9,4295 9,4245 120,23 120,23 1133,708785 1133,107635 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-14 9,4365 9,4315 120,65 120,65 1138,513725 1137,910475 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-15 9,4345 9,4295 120,6 120,6 1137,8007 1137,1977 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-16 9,4765 9,4715 121,05 121,05 1147,130325 1146,525075 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-19 9,4535 9,4485 120,8 120,8 1141,9828 1141,3788 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-20 9,4015 9,3965 120,69 120,69 1134,667035 1134,063585 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-21 9,4485 9,4435 120,69 120,69 1140,339465 1139,736015 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-22 9,4365 9,4315 120,78 120,78 1139,74047 1139,13657 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-23 9,4425 9,4375 121,33 121,33 1145,658525 1145,051875 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-27 9,4915 9,4865 121,6 121,6 1154,1664 1153,5584 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-28 9,4345 9,4295 121,64 121,64 1147,61258 1147,00438 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-29 9,4115 9,4065 122,24 122,24 1150,46176 1149,85056 324665 FIM Fondbolag Ab FIM Fenno Placeringsfond EUR 2005-12-30 9,4325 9,4275 122,1 122,1 1151,70825 1151,09775 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-03 9,0065 9,0015 126,87 126,87 1142,654655 1142,020305 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-04 9,0345 9,0295 126,04 126,04 1138,70838 1138,07818 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-05 9,0615 9,0565 124,98 124,98 1132,50627 1131,88137 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-07 9,0615 9,0565 124,94 124,94 1132,14381 1131,51911 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-10 9,08619 9,08119 124,98 124,98 1135,5920262 1134,9671262 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-11 9,08619 9,08119 124,81 124,81 1134,0473739 1133,4233239 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-12 9,0455 9,0405 124,27 124,27 1124,084285 1123,462935 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-13 9,0505 9,0455 124,75 124,75 1129,049875 1128,426125 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-14 9,0455 9,0405 123,47 123,47 1116,847885 1116,230535 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-17 9,0685 9,0635 124,84 124,84 1132,11154 1131,48734 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-18 9,0585 9,0535 124,49 124,49 1127,692665 1127,070215 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-19 9,0225 9,0175 124,6 124,6 1124,2035 1123,5805 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-20 9,0315 9,0265 122,9 122,9 1109,97135 1109,35685 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-21 9,0505 9,0455 122,28 122,28 1106,69514 1106,08374 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-24 9,0655 9,0605 121,78 121,78 1103,99659 1103,38769 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-25 9,0715 9,0665 121,76 121,76 1104,54584 1103,93704 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-26 9,0885 9,0835 122,37 122,37 1112,159745 1111,547895 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-27 9,0675 9,0625 124,08 124,08 1125,0954 1124,475 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-28 9,0955 9,0905 124,2 124,2 1129,6611 1129,0401 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-01-31 9,1075 9,1025 125,23 125,23 1140,532225 1139,906075 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-01 9,1035 9,0985 126,03 126,03 1147,314105 1146,683955 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-02 9,0905 9,0855 126,91 126,91 1153,675355 1153,040805 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-03 9,0695 9,0645 127,54 127,54 1156,72403 1156,08633 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-04 9,0895 9,0845 127,56 127,56 1159,45662 1158,81882 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-07 9,0755 9,0705 129,29 129,29 1173,371395 1172,724945 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-08 9,0895 9,0845 128,95 128,95 1172,091025 1171,446275 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-09 9,0695 9,0645 129,47 129,47 1174,228165 1173,580815 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-10 9,0805 9,0755 128,23 128,23 1164,392515 1163,751365 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-11 9,0935 9,0885 128,15 128,15 1165,332025 1164,691275 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-14 9,1105 9,1055 129,24 129,24 1177,44102 1176,79482 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-15 9,0765 9,0715 130,15 130,15 1181,306475 1180,655725 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-16 9,0705 9,0655 129,74 129,74 1176,80667 1176,15797 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-17 9,0925 9,0875 129,9 129,9 1181,11575 1180,46625 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-18 9,0945 9,0895 129,89 129,89 1181,284605 1180,635155 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-21 9,1185 9,1135 129,74 129,74 1183,03419 1182,38549 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-22 9,0975 9,0925 128,89 128,89 1172,576775 1171,932325 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-23 9,1045 9,0995 128,82 128,82 1172,84169 1172,19759 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-24 9,0715 9,0665 129,34 129,34 1173,30781 1172,66111 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-25 9,0845 9,0795 131,1 131,1 1190,97795 1190,32245 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-02-28 9,0505 9,0455 132,02 132,02 1194,84701 1194,18691 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-01 9,0565 9,0515 131,95 131,95 1195,005175 1194,345425 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-02 9,0645 9,0595 133,08 133,08 1206,30366 1205,63826 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-03 9,0675 9,0625 133,26 133,26 1208,33505 1207,66875 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-04 9,0415 9,0365 132,73 132,73 1200,078295 1199,414645 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-07 9,0425 9,0375 133,55 133,55 1207,625875 1206,958125 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-08 9,0345 9,0295 133,49 133,49 1206,015405 1205,347955 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-09 9,0365 9,0315 133,16 133,16 1203,30034 1202,63454 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-10 9,0655 9,0605 131,62 131,62 1193,20111 1192,54301 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-11 9,0795 9,0745 131,65 131,65 1195,316175 1194,657925 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-14 9,0695 9,0645 131,64 131,64 1193,90898 1193,25078 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-15 9,1035 9,0985 131 131 1192,5585 1191,9035 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-16 9,0975 9,0925 129,62 129,62 1179,21795 1178,56985 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-17 9,1045 9,0995 128,56 128,56 1170,47452 1169,83172 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-18 9,1035 9,0985 128,82 128,82 1172,71287 1172,06877 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-21 9,1265 9,1215 128,33 128,33 1171,203745 1170,562095 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-22 9,1265 9,1215 127,87 127,87 1167,005555 1166,366205 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-23 9,1165 9,1115 126,99 126,99 1157,704335 1157,069385 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-24 9,1135 9,1085 127,02 127,02 1157,59677 1156,96167 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-29 9,1315 9,1265 126,66 126,66 1156,59579 1155,96249 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-30 9,1425 9,1375 125,53 125,53 1147,658025 1147,030375 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-03-31 9,1405 9,1355 126,9 126,9 1159,92945 1159,29495 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-01 9,1645 9,1595 127,69 127,69 1170,215005 1169,576555 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-04 9,1695 9,1645 126,43 126,43 1159,299885 1158,667735 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-05 9,1745 9,1695 126,58 126,58 1161,30821 1160,67531 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-06 9,1705 9,1655 127,24 127,24 1166,85442 1166,21822 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-07 9,1505 9,1455 128,22 128,22 1173,27711 1172,63601 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-08 9,1625 9,1575 129,77 129,77 1189,017625 1188,368775 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-11 9,1705 9,1655 128,77 128,77 1180,885285 1180,241435 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-12 9,1525 9,1475 128,42 128,42 1175,36405 1174,72195 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-13 9,1495 9,1445 128,93 128,93 1179,645035 1179,000385 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-14 9,1685 9,1635 128,01 128,01 1173,659685 1173,019635 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-15 9,1925 9,1875 126,35 126,35 1161,472375 1160,840625 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-18 9,1805 9,1755 124,25 124,25 1140,677125 1140,055875 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-19 9,2035 9,1985 124,5 124,5 1145,83575 1145,21325 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-20 9,1915 9,1865 125,01 125,01 1149,029415 1148,404365 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-21 9,1855 9,1805 125,12 125,12 1149,28976 1148,66416 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-22 9,1625 9,1575 126,36 126,36 1157,7735 1157,1417 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-25 9,1685 9,1635 125,87 125,87 1154,039095 1153,409745 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-26 9,1375 9,1325 125,21 125,21 1144,106375 1143,480325 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-27 9,1465 9,1415 123,44 123,44 1129,04396 1128,42676 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-28 9,1505 9,1455 122,2 122,2 1118,1911 1117,5801 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-04-29 9,1705 9,1655 121,43 121,43 1113,573815 1112,966665 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-02 9,1935 9,1885 122,13 122,13 1122,802155 1122,191505 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-03 9,2245 9,2195 121,67 121,67 1122,344915 1121,736565 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-04 9,1915 9,1865 122,08 122,08 1122,09832 1121,48792 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-06 9,1715 9,1665 122,92 122,92 1127,36078 1126,74618 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-09 9,1815 9,1765 123,96 123,96 1138,13874 1137,51894 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-10 9,1985 9,1935 124,1 124,1 1141,53385 1140,91335 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-11 9,2105 9,2055 123,51 123,51 1137,588855 1136,971305 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-12 9,2315 9,2265 123,47 123,47 1139,813305 1139,195955 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-13 9,2045 9,1995 123,03 123,03 1132,429635 1131,814485 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-16 9,2145 9,2095 123 123 1133,3835 1132,7685 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-17 9,2325 9,2275 123,09 123,09 1136,428425 1135,812975 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-18 9,2095 9,2045 124,02 124,02 1142,16219 1141,54209 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-19 9,1905 9,1855 125,07 125,07 1149,455835 1148,830485 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-20 9,1955 9,1905 125,93 125,93 1157,989315 1157,359665 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-23 9,1805 9,1755 126,2 126,2 1158,5791 1157,9481 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-24 9,1815 9,1765 126,56 126,56 1162,01064 1161,37784 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-25 9,1785 9,1735 127,38 127,38 1169,15733 1168,52043 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-26 9,1945 9,1895 127,02 127,02 1167,88539 1167,25029 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-27 9,1955 9,1905 127,96 127,96 1176,65618 1176,01638 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-30 9,1905 9,1855 128,38 128,38 1179,87639 1179,23449 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-05-31 9,1665 9,1615 128,86 128,86 1181,19519 1180,55089 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-01 9,1455 9,1405 129,45 129,45 1183,884975 1183,237725 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-02 9,1565 9,1515 130,25 130,25 1192,634125 1191,982875 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-03 9,1315 9,1265 130,34 130,34 1190,19971 1189,54801 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-07 9,1455 9,1405 130,1 130,1 1189,82955 1189,17905 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-08 9,1455 9,1405 129,97 129,97 1188,640635 1187,990785 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-09 9,1965 9,1915 130,31 130,31 1198,395915 1197,744365 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-10 9,1975 9,1925 131,22 131,22 1206,89595 1206,23985 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-13 9,2365 9,2315 131,76 131,76 1217,00124 1216,34244 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-14 9,2985 9,2935 131,62 131,62 1223,86857 1223,21047 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-15 9,2695 9,2645 132,43 132,43 1227,559885 1226,897735 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-16 9,2695 9,2645 132,16 132,16 1225,05712 1224,39632 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-17 9,2695 9,2645 133,04 133,04 1233,21428 1232,54908 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-20 9,2255 9,2205 133,22 133,22 1229,02111 1228,35501 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-21 9,2725 9,2675 133,59 133,59 1238,713275 1238,045325 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-22 9,2615 9,2565 133,82 133,82 1239,37393 1238,70483 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-23 9,3535 9,3485 134,42 134,42 1257,29747 1256,62537 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-27 9,3855 9,3805 132,4 132,4 1242,6402 1241,9782 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-28 9,3995 9,3945 132,65 132,65 1246,843675 1246,180425 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-29 9,4215 9,4165 133,66 133,66 1259,27769 1258,60939 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-06-30 9,4415 9,4365 133,41 133,41 1259,590515 1258,923465 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-01 9,4595 9,4545 133,85 133,85 1266,154075 1265,484825 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-04 9,4795 9,4745 134,62 134,62 1276,13029 1275,45719 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-05 9,4575 9,4525 134,39 134,39 1270,993425 1270,321475 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-06 9,4195 9,4145 135,82 135,82 1279,35649 1278,67739 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-07 9,3965 9,3915 134,57 134,57 1264,487005 1263,814155 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-08 9,4175 9,4125 136,02 136,02 1280,96835 1280,28825 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-11 9,4665 9,4615 137,38 137,38 1300,50777 1299,82087 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-12 9,4645 9,4595 137,62 137,62 1302,50449 1301,81639 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-13 9,3915 9,3865 137,78 137,78 1293,96087 1293,27197 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-14 9,3675 9,3625 138,29 138,29 1295,431575 1294,740125 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-15 9,4055 9,4005 137,75 137,75 1295,607625 1294,918875 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-18 9,3895 9,3845 137,8 137,8 1293,8731 1293,1841 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-19 9,4425 9,4375 137,65 137,65 1299,760125 1299,071875 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-20 9,4265 9,4215 137,9 137,9 1299,91435 1299,22485 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-21 9,4625 9,4575 137,17 137,17 1297,971125 1297,285275 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-22 9,4495 9,4445 137,32 137,32 1297,60534 1296,91874 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-25 9,4275 9,4225 138,02 138,02 1301,18355 1300,49345 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-26 9,4155 9,4105 137,74 137,74 1296,89097 1296,20227 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-27 9,4725 9,4675 138,28 138,28 1309,8573 1309,1659 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-28 9,4515 9,4465 138,73 138,73 1311,206595 1310,512945 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-07-29 9,3885 9,3835 139,85 139,85 1312,981725 1312,282475 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-01 9,3985 9,3935 139,89 139,89 1314,756165 1314,056715 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-02 9,3995 9,3945 140,37 140,37 1319,407815 1318,705965 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-03 9,3755 9,3705 141,31 141,31 1324,851905 1324,145355 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-04 9,3735 9,3685 141,36 141,36 1325,03796 1324,33116 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-05 9,3355 9,3305 141,32 141,32 1319,29286 1318,58626 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-08 9,3335 9,3285 141,81 141,81 1323,583635 1322,874585 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-09 9,3455 9,3405 141,96 141,96 1326,68718 1325,97738 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-10 9,3535 9,3485 142,52 142,52 1333,06082 1332,34822 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-11 9,3365 9,3315 141,77 141,77 1323,635605 1322,926755 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-12 9,3025 9,2975 141,39 141,39 1315,280475 1314,573525 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-15 9,3065 9,3015 141,22 141,22 1314,26393 1313,55783 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-16 9,2995 9,2945 141,67 141,67 1317,460165 1316,751815 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-17 9,3405 9,3355 140,34 140,34 1310,84577 1310,14407 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-18 9,3365 9,3315 140,62 140,62 1312,89863 1312,19553 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-19 9,3395 9,3345 141,31 141,31 1319,764745 1319,058195 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-22 9,3655 9,3605 142,4 142,4 1333,6472 1332,9352 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-23 9,3715 9,3665 142,71 142,71 1337,406765 1336,693215 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-24 9,3365 9,3315 141,93 141,93 1325,129445 1324,419795 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-25 9,3335 9,3285 141,83 141,83 1323,770305 1323,061155 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-26 9,3415 9,3365 142,03 142,03 1326,773245 1326,063095 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-29 9,3295 9,3245 141,21 141,21 1317,418695 1316,712645 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-30 9,3285 9,3235 142,58 142,58 1330,05753 1329,34463 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-08-31 9,3585 9,3535 143,42 143,42 1342,19607 1341,47897 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-01 9,3365 9,3315 144,61 144,61 1350,151265 1349,428215 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-02 9,3025 9,2975 144,7 144,7 1346,07175 1345,34825 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-05 9,2845 9,2795 145,35 145,35 1349,502075 1348,775325 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-06 9,3225 9,3175 145,44 145,44 1355,8644 1355,1372 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-07 9,3075 9,3025 145,81 145,81 1357,126575 1356,397525 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-08 9,3255 9,3205 146,4 146,4 1365,2532 1364,5212 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-09 9,3445 9,3395 147,4 147,4 1377,3793 1376,6423 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-12 9,3015 9,2965 149,04 149,04 1386,29556 1385,55036 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-13 9,3015 9,2965 148,42 148,42 1380,52863 1379,78653 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-14 9,3365 9,3315 148,63 148,63 1387,683995 1386,940845 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-15 9,3425 9,3375 149,42 149,42 1395,95635 1395,20925 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-16 9,3465 9,3415 149,75 149,75 1399,638375 1398,889625 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-19 9,3355 9,3305 150,65 150,65 1406,393075 1405,639825 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-20 9,3395 9,3345 151,38 151,38 1413,81351 1413,05661 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-21 9,3405 9,3355 151,01 151,01 1410,508905 1409,753855 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-22 9,3405 9,3355 151,41 151,41 1414,245105 1413,488055 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-23 9,3695 9,3645 151,58 151,58 1420,22881 1419,47091 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-26 9,3815 9,3765 152,08 152,08 1426,73852 1425,97812 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-27 9,3885 9,3835 152,66 152,66 1433,24841 1432,48511 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-28 9,3935 9,3885 152,68 152,68 1434,19958 1433,43618 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-29 9,3845 9,3795 153,49 153,49 1440,426905 1439,659455 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-09-30 9,3435 9,3385 153,78 153,78 1436,84343 1436,07453 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-03 9,3025 9,2975 155,16 155,16 1443,3759 1442,6001 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-04 9,3185 9,3135 155,94 155,94 1453,12689 1452,34719 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-05 9,3105 9,3055 153,69 153,69 1430,930745 1430,162295 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-06 9,3015 9,2965 148,35 148,35 1379,877525 1379,135775 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-07 9,3385 9,3335 147,54 147,54 1377,80229 1377,06459 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-10 9,3465 9,3415 149,37 149,37 1396,086705 1395,339855 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-11 9,3395 9,3345 149,42 149,42 1395,50809 1394,76099 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-12 9,3375 9,3325 148,31 148,31 1384,844625 1384,103075 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-13 9,3815 9,3765 144,48 144,48 1355,43912 1354,71672 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-14 9,4135 9,4085 142,33 142,33 1339,823455 1339,111805 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-17 9,4575 9,4525 143,15 143,15 1353,841125 1353,125375 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-18 9,4625 9,4575 143,36 143,36 1356,544 1355,8272 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-19 9,4605 9,4555 139,12 139,12 1316,14476 1315,44916 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-20 9,4935 9,4885 139,91 139,91 1328,235585 1327,536035 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-21 9,4915 9,4865 137,33 137,33 1303,467695 1302,781045 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-24 9,5455 9,5405 139,26 139,26 1329,30633 1328,61003 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-25 9,5465 9,5415 139,95 139,95 1336,032675 1335,332925 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-26 9,4975 9,4925 140,46 140,46 1334,01885 1333,31655 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-27 9,5355 9,5305 139,54 139,54 1330,58367 1329,88597 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-28 9,5135 9,5085 138,05 138,05 1313,338675 1312,648425 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-10-31 9,5495 9,5445 140,87 140,87 1345,238065 1344,533715 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-01 9,5495 9,5445 142,97 142,97 1365,292015 1364,577165 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-02 9,5855 9,5805 143,19 143,19 1372,547745 1371,831795 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-03 9,6515 9,6465 144,81 144,81 1397,633715 1396,909665 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-04 9,5875 9,5825 145,9 145,9 1398,81625 1398,08675 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-07 9,6075 9,6025 145,75 145,75 1400,293125 1399,564375 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-08 9,5685 9,5635 145,41 145,41 1391,355585 1390,628535 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-09 9,5575 9,5525 145,78 145,78 1393,29235 1392,56345 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-10 9,6105 9,6055 145,36 145,36 1396,98228 1396,25548 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-11 9,6365 9,6315 144,06 144,06 1388,23419 1387,51389 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-14 9,5505 9,5455 144,68 144,68 1381,76634 1381,04294 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-15 9,5805 9,5755 144,19 144,19 1381,412295 1380,691345 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-16 9,6235 9,6185 143,41 143,41 1380,106135 1379,389085 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-17 9,6355 9,6305 145,14 145,14 1398,49647 1397,77077 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-18 9,6085 9,6035 146,11 146,11 1403,897935 1403,167385 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-21 9,5915 9,5865 148,82 148,82 1427,40703 1426,66293 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-22 9,5585 9,5535 149,44 149,44 1428,42224 1427,67504 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-23 9,5155 9,5105 150,13 150,13 1428,562015 1427,811365 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-24 9,5125 9,5075 149,84 149,84 1425,353 1424,6038 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-25 9,4965 9,4915 150,74 150,74 1431,50241 1430,74871 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-28 9,4835 9,4785 151,36 151,36 1435,42256 1434,66576 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-29 9,4785 9,4735 149,95 149,95 1421,301075 1420,551325 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-11-30 9,5295 9,5245 149,77 149,77 1427,233215 1426,484365 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-01 9,5165 9,5115 151,12 151,12 1438,13348 1437,37788 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-02 9,4905 9,4855 153,05 153,05 1452,521025 1451,755775 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-05 9,4065 9,4015 153,91 153,91 1447,754415 1446,984865 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-07 9,4255 9,4205 155,3 155,3 1463,78015 1463,00365 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-08 9,3965 9,3915 154,31 154,31 1449,973915 1449,202365 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-12 9,4315 9,4265 154,98 154,98 1461,69387 1460,91897 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-13 9,4295 9,4245 154,86 154,86 1460,25237 1459,47807 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-14 9,4365 9,4315 154,42 154,42 1457,18433 1456,41223 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-15 9,4345 9,4295 154,64 154,64 1458,95108 1458,17788 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-16 9,4765 9,4715 154,61 154,61 1465,161665 1464,388615 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-19 9,4535 9,4485 154,39 154,39 1459,525865 1458,753915 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-20 9,4015 9,3965 154,23 154,23 1449,993345 1449,222195 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-21 9,4485 9,4435 155,05 155,05 1464,989925 1464,214675 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-22 9,4365 9,4315 156,25 156,25 1474,453125 1473,671875 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-23 9,4425 9,4375 156,67 156,67 1479,356475 1478,573125 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-27 9,4915 9,4865 157,05 157,05 1490,640075 1489,854825 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-28 9,4345 9,4295 156,02 156,02 1471,97069 1471,19059 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-29 9,4115 9,4065 156,94 156,94 1477,04081 1476,25611 467985 FIM Fondbolag Ab FIM Forte Placeringsfond EUR 2005-12-30 9,4325 9,4275 156,99 156,99 1480,808175 1480,023225 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-03 9,0065 9,0015 20,35 20,35 183,282275 183,180525 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-04 9,0345 9,0295 20,36 20,36 183,94242 183,84062 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-05 9,0615 9,0565 19,89 19,89 180,233235 180,133785 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-07 9,0615 9,0565 19,83 19,83 179,689545 179,590395 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-10 9,08619 9,08119 19,58 19,58 177,9076002 177,8097002 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-11 9,08619 9,08119 19,22 19,22 174,6365718 174,5404718 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-12 9,0455 9,0405 18,82 18,82 170,23631 170,14221 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-13 9,0505 9,0455 19,13 19,13 173,136065 173,040415 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-14 9,0455 9,0405 19,09 19,09 172,678595 172,583145 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-17 9,0685 9,0635 19,05 19,05 172,754925 172,659675 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-18 9,0585 9,0535 19,2 19,2 173,9232 173,8272 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-19 9,0225 9,0175 19,14 19,14 172,69065 172,59495 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-20 9,0315 9,0265 19,1 19,1 172,50165 172,40615 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-21 9,0505 9,0455 19,08 19,08 172,68354 172,58814 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-24 9,0655 9,0605 18,85 18,85 170,884675 170,790425 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-25 9,0715 9,0665 19,02 19,02 172,53993 172,44483 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-26 9,0885 9,0835 19,03 19,03 172,954155 172,859005 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-27 9,0675 9,0625 19,3 19,3 175,00275 174,90625 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-28 9,0955 9,0905 19,74 19,74 179,54517 179,44647 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-01-31 9,1075 9,1025 20,1 20,1 183,06075 182,96025 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-01 9,1035 9,0985 20,09 20,09 182,889315 182,788865 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-02 9,0905 9,0855 20,09 20,09 182,628145 182,527695 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-03 9,0695 9,0645 20,38 20,38 184,83641 184,73451 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-04 9,0895 9,0845 20,34 20,34 184,88043 184,77873 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-07 9,0755 9,0705 20,25 20,25 183,778875 183,677625 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-08 9,0895 9,0845 20,31 20,31 184,607745 184,506195 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-09 9,0695 9,0645 20,42 20,42 185,19919 185,09709 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-10 9,0805 9,0755 20,47 20,47 185,877835 185,775485 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-11 9,0935 9,0885 20,59 20,59 187,235165 187,132215 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-14 9,1105 9,1055 20,74 20,74 188,95177 188,84807 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-15 9,0765 9,0715 20,7 20,7 187,88355 187,78005 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-16 9,0705 9,0655 20,58 20,58 186,67089 186,56799 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-17 9,0925 9,0875 20,43 20,43 185,759775 185,657625 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-18 9,0945 9,0895 20,39 20,39 185,436855 185,334905 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-21 9,1185 9,1135 20,2 20,2 184,1937 184,0927 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-22 9,0975 9,0925 20,3 20,3 184,67925 184,57775 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-23 9,1045 9,0995 20,35 20,35 185,276575 185,174825 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-24 9,0715 9,0665 20,33 20,33 184,423595 184,321945 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-25 9,0845 9,0795 20,35 20,35 184,869575 184,767825 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-02-28 9,0505 9,0455 20,59 20,59 186,349795 186,246845 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-01 9,0565 9,0515 20,42 20,42 184,93373 184,83163 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-02 9,0645 9,0595 20,61 20,61 186,819345 186,716295 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-03 9,0675 9,0625 20,9 20,9 189,51075 189,40625 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-04 9,0415 9,0365 21,12 21,12 190,95648 190,85088 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-07 9,0425 9,0375 21,23 21,23 191,972275 191,866125 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-08 9,0345 9,0295 21,32 21,32 192,61554 192,50894 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-09 9,0365 9,0315 21,16 21,16 191,21234 191,10654 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-10 9,0655 9,0605 21,05 21,05 190,828775 190,723525 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-11 9,0795 9,0745 20,93 20,93 190,033935 189,929285 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-14 9,0695 9,0645 20,88 20,88 189,37116 189,26676 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-15 9,1035 9,0985 20,75 20,75 188,897625 188,793875 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-16 9,0975 9,0925 20,66 20,66 187,95435 187,85105 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-17 9,1045 9,0995 20,44 20,44 186,09598 185,99378 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-18 9,1035 9,0985 20,49 20,49 186,530715 186,428265 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-21 9,1265 9,1215 20,51 20,51 187,184515 187,081965 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-22 9,1265 9,1215 20,11 20,11 183,533915 183,433365 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-23 9,1165 9,1115 19,79 19,79 180,415535 180,316585 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-24 9,1135 9,1085 19,82 19,82 180,62957 180,53047 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-29 9,1315 9,1265 19,76 19,76 180,43844 180,33964 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-30 9,1425 9,1375 19,86 19,86 181,57005 181,47075 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-03-31 9,1405 9,1355 20,29 20,29 185,460745 185,359295 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-01 9,1645 9,1595 20,62 20,62 188,97199 188,86889 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-04 9,1695 9,1645 20,78 20,78 190,54221 190,43831 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-05 9,1745 9,1695 20,55 20,55 188,535975 188,433225 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-06 9,1705 9,1655 20,71 20,71 189,921055 189,817505 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-07 9,1505 9,1455 20,46 20,46 187,21923 187,11693 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-08 9,1625 9,1575 20,28 20,28 185,8155 185,7141 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-11 9,1705 9,1655 19,94 19,94 182,85977 182,76007 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-12 9,1525 9,1475 20,21 20,21 184,972025 184,870975 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-13 9,1495 9,1445 20,21 20,21 184,911395 184,810345 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-14 9,1685 9,1635 20,29 20,29 186,028865 185,927415 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-15 9,1925 9,1875 19,6 19,6 180,173 180,075 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-18 9,1805 9,1755 19,31 19,31 177,275455 177,178905 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-19 9,2035 9,1985 19,18 19,18 176,52313 176,42723 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-20 9,1915 9,1865 19,37 19,37 178,039355 177,942505 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-21 9,1855 9,1805 19,54 19,54 179,48467 179,38697 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-22 9,1625 9,1575 19,79 19,79 181,325875 181,226925 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-25 9,1685 9,1635 19,89 19,89 182,361465 182,262015 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-26 9,1375 9,1325 19,81 19,81 181,013875 180,914825 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-27 9,1465 9,1415 19,61 19,61 179,362865 179,264815 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-28 9,1505 9,1455 19,64 19,64 179,71582 179,61762 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-04-29 9,1705 9,1655 19,34 19,34 177,35747 177,26077 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-02 9,1935 9,1885 19,42 19,42 178,53777 178,44067 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-03 9,2245 9,2195 19,44 19,44 179,32428 179,22708 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-04 9,1915 9,1865 19,63 19,63 180,429145 180,330995 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-06 9,1715 9,1665 20,05 20,05 183,888575 183,788325 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-09 9,1815 9,1765 20,35 20,35 186,843525 186,741775 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-10 9,1985 9,1935 20,28 20,28 186,54558 186,44418 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-11 9,2105 9,2055 20,33 20,33 187,249465 187,147815 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-12 9,2315 9,2265 20,36 20,36 187,95334 187,85154 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-13 9,2045 9,1995 20,43 20,43 188,047935 187,945785 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-16 9,2145 9,2095 20,65 20,65 190,279425 190,176175 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-17 9,2325 9,2275 20,53 20,53 189,543225 189,440575 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-18 9,2095 9,2045 20,45 20,45 188,334275 188,232025 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-19 9,1905 9,1855 20,59 20,59 189,232395 189,129445 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-20 9,1955 9,1905 20,71 20,71 190,438805 190,335255 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-23 9,1805 9,1755 20,82 20,82 191,13801 191,03391 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-24 9,1815 9,1765 20,79 20,79 190,883385 190,779435 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-25 9,1785 9,1735 20,92 20,92 192,01422 191,90962 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-26 9,1945 9,1895 21,19 21,19 194,831455 194,725505 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-27 9,1955 9,1905 21,09 21,09 193,933095 193,827645 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-30 9,1905 9,1855 20,95 20,95 192,540975 192,436225 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-05-31 9,1665 9,1615 21,19 21,19 194,238135 194,132185 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-01 9,1455 9,1405 21,34 21,34 195,16497 195,05827 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-02 9,1565 9,1515 21,2 21,2 194,1178 194,0118 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-03 9,1315 9,1265 21,44 21,44 195,77936 195,67216 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-07 9,1455 9,1405 21,59 21,59 197,451345 197,343395 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-08 9,1455 9,1405 21,76 21,76 199,00608 198,89728 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-09 9,1965 9,1915 21,86 21,86 201,03549 200,92619 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-10 9,1975 9,1925 21,75 21,75 200,045625 199,936875 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-13 9,2365 9,2315 22,12 22,12 204,31138 204,20078 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-14 9,2985 9,2935 22,21 22,21 206,519685 206,408635 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-15 9,2695 9,2645 22,35 22,35 207,173325 207,061575 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-16 9,2695 9,2645 22,1 22,1 204,85595 204,74545 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-17 9,2695 9,2645 21,98 21,98 203,74361 203,63371 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-20 9,2255 9,2205 22,01 22,01 203,053255 202,943205 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-21 9,2725 9,2675 22,35 22,35 207,240375 207,128625 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-22 9,2615 9,2565 22,4 22,4 207,4576 207,3456 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-23 9,3535 9,3485 22,46 22,46 210,07961 209,96731 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-27 9,3855 9,3805 22,3 22,3 209,29665 209,18515 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-28 9,3995 9,3945 22,14 22,14 208,10493 207,99423 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-29 9,4215 9,4165 22,37 22,37 210,758955 210,647105 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-06-30 9,4415 9,4365 22,5 22,5 212,43375 212,32125 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-01 9,4595 9,4545 22,67 22,67 214,446865 214,333515 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-04 9,4795 9,4745 23,14 23,14 219,35563 219,23993 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-05 9,4575 9,4525 22,97 22,97 217,238775 217,123925 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-06 9,4195 9,4145 23,27 23,27 219,191765 219,075415 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-07 9,3965 9,3915 22,9 22,9 215,17985 215,06535 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-08 9,4175 9,4125 23,16 23,16 218,1093 217,9935 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-11 9,4665 9,4615 23,3 23,3 220,56945 220,45295 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-12 9,4645 9,4595 23 23 217,6835 217,5685 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-13 9,3915 9,3865 23,03 23,03 216,286245 216,171095 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-14 9,3675 9,3625 22,87 22,87 214,234725 214,120375 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-15 9,4055 9,4005 23,28 23,28 218,96004 218,84364 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-18 9,3895 9,3845 23,49 23,49 220,559355 220,441905 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-19 9,4425 9,4375 23,74 23,74 224,16495 224,04625 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-20 9,4265 9,4215 23,62 23,62 222,65393 222,53583 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-21 9,4625 9,4575 23,45 23,45 221,895625 221,778375 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-22 9,4495 9,4445 23,8 23,8 224,8981 224,7791 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-25 9,4275 9,4225 24,15 24,15 227,674125 227,553375 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-26 9,4155 9,4105 24,42 24,42 229,92651 229,80441 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-27 9,4725 9,4675 24,52 24,52 232,2657 232,1431 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-28 9,4515 9,4465 24,41 24,41 230,711115 230,589065 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-07-29 9,3885 9,3835 24,39 24,39 228,985515 228,863565 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-01 9,3985 9,3935 24,27 24,27 228,101595 227,980245 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-02 9,3995 9,3945 24,61 24,61 231,321695 231,198645 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-03 9,3755 9,3705 24,64 24,64 231,01232 230,88912 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-04 9,3735 9,3685 24,77 24,77 232,181595 232,057745 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-05 9,3355 9,3305 24,81 24,81 231,613755 231,489705 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-08 9,3335 9,3285 24,27 24,27 226,524045 226,402695 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-09 9,3455 9,3405 24,33 24,33 227,376015 227,254365 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-10 9,3535 9,3485 24,72 24,72 231,21852 231,09492 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-11 9,3365 9,3315 24,8 24,8 231,5452 231,4212 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-12 9,3025 9,2975 24,99 24,99 232,469475 232,344525 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-15 9,3065 9,3015 25,1 25,1 233,59315 233,46765 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-16 9,2995 9,2945 25,3 25,3 235,27735 235,15085 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-17 9,3405 9,3355 25,54 25,54 238,55637 238,42867 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-18 9,3365 9,3315 25,73 25,73 240,228145 240,099495 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-19 9,3395 9,3345 25,66 25,66 239,65157 239,52327 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-22 9,3655 9,3605 25,37 25,37 237,602735 237,475885 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-23 9,3715 9,3665 24,86 24,86 232,97549 232,85119 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-24 9,3365 9,3315 24,7 24,7 230,61155 230,48805 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-25 9,3335 9,3285 24,98 24,98 233,15083 233,02593 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-26 9,3415 9,3365 25,12 25,12 234,65848 234,53288 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-29 9,3295 9,3245 24,94 24,94 232,67773 232,55303 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-30 9,3285 9,3235 25,39 25,39 236,850615 236,723665 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-08-31 9,3585 9,3535 25,5 25,5 238,64175 238,51425 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-01 9,3365 9,3315 25,33 25,33 236,493545 236,366895 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-02 9,3025 9,2975 25,12 25,12 233,6788 233,5532 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-05 9,2845 9,2795 25,21 25,21 234,062245 233,936195 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-06 9,3225 9,3175 25,32 25,32 236,0457 235,9191 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-07 9,3075 9,3025 25,47 25,47 237,062025 236,934675 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-08 9,3255 9,3205 25,77 25,77 240,318135 240,189285 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-09 9,3445 9,3395 25,78 25,78 240,90121 240,77231 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-12 9,3015 9,2965 26,35 26,35 245,094525 244,962775 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-13 9,3015 9,2965 26,51 26,51 246,582765 246,450215 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-14 9,3365 9,3315 26,3 26,3 245,54995 245,41845 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-15 9,3425 9,3375 26,84 26,84 250,7527 250,6185 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-16 9,3465 9,3415 26,91 26,91 251,514315 251,379765 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-19 9,3355 9,3305 27,36 27,36 255,41928 255,28248 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-20 9,3395 9,3345 27,5 27,5 256,83625 256,69875 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-21 9,3405 9,3355 27,09 27,09 253,034145 252,898695 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-22 9,3405 9,3355 26,1 26,1 243,78705 243,65655 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-23 9,3695 9,3645 26,54 26,54 248,66653 248,53383 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-26 9,3815 9,3765 27,45 27,45 257,522175 257,384925 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-27 9,3885 9,3835 27,51 27,51 258,277635 258,140085 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-28 9,3935 9,3885 27,8 27,8 261,1393 261,0003 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-29 9,3845 9,3795 28,01 28,01 262,859845 262,719795 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-09-30 9,3435 9,3385 27,92 27,92 260,87052 260,73092 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-03 9,3025 9,2975 28,29 28,29 263,167725 263,026275 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-04 9,3185 9,3135 28,54 28,54 265,94999 265,80729 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-05 9,3105 9,3055 28,37 28,37 264,138885 263,997035 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-06 9,3015 9,2965 27,47 27,47 255,512205 255,374855 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-07 9,3385 9,3335 27,17 27,17 253,727045 253,591195 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-10 9,3465 9,3415 27,05 27,05 252,822825 252,687575 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-11 9,3395 9,3345 27,15 27,15 253,567425 253,431675 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-12 9,3375 9,3325 27,09 27,09 252,952875 252,817425 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-13 9,3815 9,3765 26,94 26,94 252,73761 252,60291 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-14 9,4135 9,4085 26,17 26,17 246,351295 246,220445 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-17 9,4575 9,4525 26,06 26,06 246,46245 246,33215 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-18 9,4625 9,4575 25,85 25,85 244,605625 244,476375 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-19 9,4605 9,4555 25,31 25,31 239,445255 239,318705 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-20 9,4935 9,4885 24,9 24,9 236,38815 236,26365 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-21 9,4915 9,4865 25,28 25,28 239,94512 239,81872 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-24 9,5455 9,5405 25,13 25,13 239,878415 239,752765 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-25 9,5465 9,5415 25,13 25,13 239,903545 239,777895 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-26 9,4975 9,4925 25,1 25,1 238,38725 238,26175 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-27 9,5355 9,5305 24,42 24,42 232,85691 232,73481 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-28 9,5135 9,5085 24,17 24,17 229,941295 229,820445 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-10-31 9,5495 9,5445 25,08 25,08 239,50146 239,37606 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-01 9,5495 9,5445 25,33 25,33 241,888835 241,762185 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-02 9,5855 9,5805 25,46 25,46 244,04683 243,91953 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-03 9,6515 9,6465 25,53 25,53 246,402795 246,275145 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-04 9,5875 9,5825 25,47 25,47 244,193625 244,066275 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-07 9,6075 9,6025 25,99 25,99 249,698925 249,568975 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-08 9,5685 9,5635 26,39 26,39 252,512715 252,380765 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-09 9,5575 9,5525 26,38 26,38 252,12685 251,99495 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-10 9,6105 9,6055 26,47 26,47 254,389935 254,257585 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-11 9,6365 9,6315 27,06 27,06 260,76369 260,62839 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-14 9,5505 9,5455 27,1 27,1 258,81855 258,68305 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-15 9,5805 9,5755 27,16 27,16 260,20638 260,07058 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-16 9,6235 9,6185 27,34 27,34 263,10649 262,96979 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-17 9,6355 9,6305 27,45 27,45 264,494475 264,357225 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-18 9,6085 9,6035 27,51 27,51 264,329835 264,192285 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-21 9,5915 9,5865 27,08 27,08 259,73782 259,60242 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-22 9,5585 9,5535 27,15 27,15 259,513275 259,377525 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-23 9,5155 9,5105 27,22 27,22 259,01191 258,87581 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-24 9,5125 9,5075 27,56 27,56 262,1645 262,0267 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-25 9,4965 9,4915 28,01 28,01 265,996965 265,856915 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-28 9,4835 9,4785 28,93 28,93 274,357655 274,213005 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-29 9,4785 9,4735 28,52 28,52 270,32682 270,18422 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-11-30 9,5295 9,5245 28,21 28,21 268,827195 268,686145 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-01 9,5165 9,5115 28,74 28,74 273,50421 273,36051 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-02 9,4905 9,4855 28,73 28,73 272,662065 272,518415 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-05 9,4065 9,4015 28,28 28,28 266,01582 265,87442 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-07 9,4255 9,4205 28,31 28,31 266,835905 266,694355 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-08 9,3965 9,3915 28,37 28,37 266,578705 266,436855 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-12 9,4315 9,4265 28,6 28,6 269,7409 269,5979 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-13 9,4295 9,4245 29,1 29,1 274,39845 274,25295 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-14 9,4365 9,4315 28,87 28,87 272,431755 272,287405 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-15 9,4345 9,4295 28,83 28,83 271,996635 271,852485 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-16 9,4765 9,4715 29,07 29,07 275,481855 275,336505 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-19 9,4535 9,4485 29,67 29,67 280,485345 280,336995 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-20 9,4015 9,3965 29,55 29,55 277,814325 277,666575 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-21 9,4485 9,4435 29,68 29,68 280,43148 280,28308 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-22 9,4365 9,4315 29,81 29,81 281,302065 281,153015 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-23 9,4425 9,4375 29,51 29,51 278,648175 278,500625 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-27 9,4915 9,4865 29,5 29,5 279,99925 279,85175 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-28 9,4345 9,4295 29,36 29,36 276,99692 276,85012 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-29 9,4115 9,4065 29,73 29,73 279,803895 279,655245 220186 FIM Fondbolag Ab FIM India Placeringsfond EUR 2005-12-30 9,4325 9,4275 30,25 30,25 285,333125 285,181875 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-11 9,3365 9,3315 10,41 10,41 97,192965 97,140915 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-12 9,3025 9,2975 10,45 10,45 97,211125 97,158875 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-15 9,3065 9,3015 10,61 10,61 98,741965 98,688915 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-16 9,2995 9,2945 10,71 10,71 99,597645 99,544095 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-17 9,3405 9,3355 10,66 10,66 99,56973 99,51643 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-18 9,3365 9,3315 10,69 10,69 99,807185 99,753735 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-19 9,3395 9,3345 10,7 10,7 99,93265 99,87915 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-22 9,3655 9,3605 10,96 10,96 102,64588 102,59108 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-23 9,3715 9,3665 10,9 10,9 102,14935 102,09485 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-24 9,3365 9,3315 10,85 10,85 101,301025 101,246775 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-25 9,3335 9,3285 10,75 10,75 100,335125 100,281375 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-26 9,3415 9,3365 10,83 10,83 101,168445 101,114295 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-29 9,3295 9,3245 10,62 10,62 99,07929 99,02619 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-30 9,3285 9,3235 10,78 10,78 100,56123 100,50733 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-08-31 9,3585 9,3535 10,71 10,71 100,229535 100,175985 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-01 9,3365 9,3315 10,73 10,73 100,180645 100,126995 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-02 9,3025 9,2975 10,67 10,67 99,257675 99,204325 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-05 9,2845 9,2795 10,86 10,86 100,82967 100,77537 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-06 9,3225 9,3175 10,72 10,72 99,9372 99,8836 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-07 9,3075 9,3025 10,66 10,66 99,21795 99,16465 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-08 9,3255 9,3205 10,56 10,56 98,47728 98,42448 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-09 9,3445 9,3395 10,7 10,7 99,98615 99,93265 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-12 9,3015 9,2965 10,97 10,97 102,037455 101,982605 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-13 9,3015 9,2965 10,93 10,93 101,665395 101,610745 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-14 9,3365 9,3315 10,94 10,94 102,14131 102,08661 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-15 9,3425 9,3375 11,04 11,04 103,1412 103,086 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-16 9,3465 9,3415 11,05 11,05 103,278825 103,223575 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-19 9,3355 9,3305 11,09 11,09 103,530695 103,475245 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-20 9,3395 9,3345 11,29 11,29 105,442955 105,386505 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-21 9,3405 9,3355 11,21 11,21 104,707005 104,650955 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-22 9,3405 9,3355 11,17 11,17 104,333385 104,277535 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-23 9,3695 9,3645 11,23 11,23 105,219485 105,163335 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-26 9,3815 9,3765 11,48 11,48 107,69962 107,64222 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-27 9,3885 9,3835 11,37 11,37 106,747245 106,690395 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-28 9,3935 9,3885 11,72 11,72 110,09182 110,03322 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-29 9,3845 9,3795 11,99 11,99 112,520155 112,460205 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-09-30 9,3435 9,3385 11,79 11,79 110,159865 110,100915 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-03 9,3025 9,2975 11,79 11,79 109,676475 109,617525 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-04 9,3185 9,3135 11,81 11,81 110,051485 109,992435 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-05 9,3105 9,3055 11,6 11,6 108,0018 107,9438 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-06 9,3015 9,2965 11,19 11,19 104,083785 104,027835 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-07 9,3385 9,3335 11,15 11,15 104,124275 104,068525 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-10 9,3465 9,3415 11,15 11,15 104,213475 104,157725 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-11 9,3395 9,3345 11,47 11,47 107,124065 107,066715 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-12 9,3375 9,3325 11,47 11,47 107,101125 107,043775 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-13 9,3815 9,3765 11,46 11,46 107,51199 107,45469 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-14 9,4135 9,4085 11,33 11,33 106,654955 106,598305 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-17 9,4575 9,4525 11,22 11,22 106,11315 106,05705 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-18 9,4625 9,4575 11,15 11,15 105,506875 105,451125 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-19 9,4605 9,4555 11,02 11,02 104,25471 104,19961 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-20 9,4935 9,4885 11,01 11,01 104,523435 104,468385 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-21 9,4915 9,4865 11,03 11,03 104,691245 104,636095 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-24 9,5455 9,5405 11 11 105,0005 104,9455 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-25 9,5465 9,5415 11,12 11,12 106,15708 106,10148 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-26 9,4975 9,4925 11,18 11,18 106,18205 106,12615 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-27 9,5355 9,5305 11,35 11,35 108,227925 108,171175 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-28 9,5135 9,5085 11,25 11,25 107,026875 106,970625 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-10-31 9,5495 9,5445 11,45 11,45 109,341775 109,284525 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-01 9,5495 9,5445 11,7 11,7 111,72915 111,67065 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-02 9,5855 9,5805 11,65 11,65 111,671075 111,612825 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-03 9,6515 9,6465 11,66 11,66 112,53649 112,47819 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-04 9,5875 9,5825 11,88 11,88 113,8995 113,8401 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-07 9,6075 9,6025 11,95 11,95 114,809625 114,749875 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-08 9,5685 9,5635 11,95 11,95 114,343575 114,283825 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-09 9,5575 9,5525 11,88 11,88 113,5431 113,4837 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-10 9,6105 9,6055 11,68 11,68 112,25064 112,19224 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-11 9,6365 9,6315 11,83 11,83 113,999795 113,940645 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-14 9,5505 9,5455 11,7 11,7 111,74085 111,68235 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-15 9,5805 9,5755 11,59 11,59 111,037995 110,980045 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-16 9,6235 9,6185 11,67 11,67 112,306245 112,247895 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-17 9,6355 9,6305 11,92 11,92 114,85516 114,79556 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-18 9,6085 9,6035 12 12 115,302 115,242 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-21 9,5915 9,5865 11,82 11,82 113,37153 113,31243 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-22 9,5585 9,5535 11,82 11,82 112,98147 112,92237 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-23 9,5155 9,5105 11,81 11,81 112,378055 112,319005 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-24 9,5125 9,5075 11,64 11,64 110,7255 110,6673 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-25 9,4965 9,4915 11,74 11,74 111,48891 111,43021 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-28 9,4835 9,4785 11,82 11,82 112,09497 112,03587 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-29 9,4785 9,4735 11,81 11,81 111,941085 111,882035 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-11-30 9,5295 9,5245 11,8 11,8 112,4481 112,3891 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-01 9,5165 9,5115 11,98 11,98 114,00767 113,94777 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-02 9,4905 9,4855 12,14 12,14 115,21467 115,15397 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-05 9,4065 9,4015 12,3 12,3 115,69995 115,63845 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-07 9,4255 9,4205 12,23 12,23 115,273865 115,212715 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-08 9,3965 9,3915 12 12 112,758 112,698 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-12 9,4315 9,4265 12,36 12,36 116,57334 116,51154 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-13 9,4295 9,4245 12,41 12,41 117,020095 116,958045 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-14 9,4365 9,4315 12,39 12,39 116,918235 116,856285 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-15 9,4345 9,4295 12,48 12,48 117,74256 117,68016 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-16 9,4765 9,4715 12,43 12,43 117,792895 117,730745 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-19 9,4535 9,4485 12,5 12,5 118,16875 118,10625 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-20 9,4015 9,3965 12,71 12,71 119,493065 119,429515 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-21 9,4485 9,4435 12,97 12,97 122,547045 122,482195 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-22 9,4365 9,4315 13,08 13,08 123,42942 123,36402 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-23 9,4425 9,4375 13,13 13,13 123,980025 123,914375 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-27 9,4915 9,4865 13,2 13,2 125,2878 125,2218 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-28 9,4345 9,4295 13,27 13,27 125,195815 125,129465 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-29 9,4115 9,4065 13,38 13,38 125,92587 125,85897 318527 FIM Fondbolag Ab FIM Japan Placeringsfond EUR 2005-12-30 9,4325 9,4275 13,28 13,28 125,2636 125,1972 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-11 9,3365 9,3315 12,83 12,83 119,787295 119,723145 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-12 9,3025 9,2975 12,85 12,85 119,537125 119,472875 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-15 9,3065 9,3015 12,84 12,84 119,49546 119,43126 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-16 9,2995 9,2945 12,85 12,85 119,498575 119,434325 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-17 9,3405 9,3355 12,82 12,82 119,74521 119,68111 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-18 9,3365 9,3315 12,89 12,89 120,347485 120,283035 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-19 9,3395 9,3345 12,96 12,96 121,03992 120,97512 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-22 9,3655 9,3605 12,99 12,99 121,657845 121,592895 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-23 9,3715 9,3665 13,01 13,01 121,923215 121,858165 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-24 9,3365 9,3315 12,9 12,9 120,44085 120,37635 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-25 9,3335 9,3285 12,83 12,83 119,748805 119,684655 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-26 9,3415 9,3365 12,84 12,84 119,94486 119,88066 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-29 9,3295 9,3245 12,77 12,77 119,137715 119,073865 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-30 9,3285 9,3235 12,92 12,92 120,52422 120,45962 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-08-31 9,3585 9,3535 13,01 13,01 121,754085 121,689035 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-01 9,3365 9,3315 13,09 13,09 122,214785 122,149335 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-02 9,3025 9,2975 13,08 13,08 121,6767 121,6113 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-05 9,2845 9,2795 13,09 13,09 121,534105 121,468655 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-06 9,3225 9,3175 13,19 13,19 122,963775 122,897825 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-07 9,3075 9,3025 13,21 13,21 122,952075 122,886025 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-08 9,3255 9,3205 13,19 13,19 123,003345 122,937395 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-09 9,3445 9,3395 13,2 13,2 123,3474 123,2814 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-12 9,3015 9,2965 13,31 13,31 123,802965 123,736415 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-13 9,3015 9,2965 13,33 13,33 123,988995 123,922345 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-14 9,3365 9,3315 13,36 13,36 124,73564 124,66884 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-15 9,3425 9,3375 13,42 13,42 125,37635 125,30925 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-16 9,3465 9,3415 13,37 13,37 124,962705 124,895855 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-19 9,3355 9,3305 13,42 13,42 125,28241 125,21531 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-20 9,3395 9,3345 13,46 13,46 125,70967 125,64237 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-21 9,3405 9,3355 13,46 13,46 125,72313 125,65583 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-22 9,3405 9,3355 13,43 13,43 125,442915 125,375765 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-23 9,3695 9,3645 13,4 13,4 125,5513 125,4843 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-26 9,3815 9,3765 13,44 13,44 126,08736 126,02016 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-27 9,3885 9,3835 13,45 13,45 126,275325 126,208075 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-28 9,3935 9,3885 13,47 13,47 126,530445 126,463095 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-29 9,3845 9,3795 13,56 13,56 127,25382 127,18602 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-09-30 9,3435 9,3385 13,62 13,62 127,25847 127,19037 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-03 9,3025 9,2975 13,69 13,69 127,351225 127,282775 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-04 9,3185 9,3135 13,69 13,69 127,570265 127,501815 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-05 9,3105 9,3055 13,73 13,73 127,833165 127,764515 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-06 9,3015 9,2965 13,55 13,55 126,035325 125,967575 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-07 9,3385 9,3335 13,49 13,49 125,976365 125,908915 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-10 9,3465 9,3415 13,59 13,59 127,018935 126,950985 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-11 9,3395 9,3345 13,57 13,57 126,737015 126,669165 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-12 9,3375 9,3325 13,57 13,57 126,709875 126,642025 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-13 9,3815 9,3765 13,2 13,2 123,8358 123,7698 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-14 9,4135 9,4085 13,06 13,06 122,94031 122,87501 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-17 9,4575 9,4525 13,13 13,13 124,176975 124,111325 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-18 9,4625 9,4575 13,07 13,07 123,674875 123,609525 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-19 9,4605 9,4555 12,65 12,65 119,675325 119,612075 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-20 9,4935 9,4885 12,75 12,75 121,042125 120,978375 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-21 9,4915 9,4865 12,55 12,55 119,118325 119,055575 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-24 9,5455 9,5405 12,78 12,78 121,99149 121,92759 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-25 9,5465 9,5415 12,84 12,84 122,57706 122,51286 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-26 9,4975 9,4925 12,95 12,95 122,992625 122,927875 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-27 9,5355 9,5305 12,85 12,85 122,531175 122,466925 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-28 9,5135 9,5085 12,67 12,67 120,536045 120,472695 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-10-31 9,5495 9,5445 12,96 12,96 123,76152 123,69672 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-01 9,5495 9,5445 13,05 13,05 124,620975 124,555725 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-02 9,5855 9,5805 13,09 13,09 125,474195 125,408745 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-03 9,6515 9,6465 13,2 13,2 127,3998 127,3338 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-04 9,5875 9,5825 13,26 13,26 127,13025 127,06395 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-07 9,6075 9,6025 13,26 13,26 127,39545 127,32915 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-08 9,5685 9,5635 13,2 13,2 126,3042 126,2382 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-09 9,5575 9,5525 13,26 13,26 126,73245 126,66615 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-10 9,6105 9,6055 13,26 13,26 127,43523 127,36893 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-11 9,6365 9,6315 13,23 13,23 127,490895 127,424745 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-14 9,5505 9,5455 13,33 13,33 127,308165 127,241515 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-15 9,5805 9,5755 13,23 13,23 126,750015 126,683865 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-16 9,6235 9,6185 13,12 13,12 126,26032 126,19472 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-17 9,6355 9,6305 13,25 13,25 127,670375 127,604125 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-18 9,6085 9,6035 13,35 13,35 128,273475 128,206725 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-21 9,5915 9,5865 13,32 13,32 127,75878 127,69218 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-22 9,5585 9,5535 13,42 13,42 128,27507 128,20797 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-23 9,5155 9,5105 13,46 13,46 128,07863 128,01133 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-24 9,5125 9,5075 13,37 13,37 127,182125 127,115275 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-25 9,4965 9,4915 13,47 13,47 127,917855 127,850505 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-28 9,4835 9,4785 13,49 13,49 127,932415 127,864965 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-29 9,4785 9,4735 13,37 13,37 126,727545 126,660695 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-11-30 9,5295 9,5245 13,35 13,35 127,218825 127,152075 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-01 9,5165 9,5115 13,44 13,44 127,90176 127,83456 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-02 9,4905 9,4855 13,68 13,68 129,83004 129,76164 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-05 9,4065 9,4015 13,71 13,71 128,963115 128,894565 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-07 9,4255 9,4205 13,86 13,86 130,63743 130,56813 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-08 9,3965 9,3915 13,83 13,83 129,953595 129,884445 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-12 9,4315 9,4265 13,93 13,93 131,380795 131,311145 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-13 9,4295 9,4245 13,95 13,95 131,541525 131,471775 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-14 9,4365 9,4315 13,93 13,93 131,450445 131,380795 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-15 9,4345 9,4295 13,91 13,91 131,233895 131,164345 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-16 9,4765 9,4715 13,93 13,93 132,007645 131,937995 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-19 9,4535 9,4485 13,93 13,93 131,687255 131,617605 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-20 9,4015 9,3965 13,97 13,97 131,338955 131,269105 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-21 9,4485 9,4435 14,07 14,07 132,940395 132,870045 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-22 9,4365 9,4315 14,12 14,12 133,24338 133,17278 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-23 9,4425 9,4375 14,19 14,19 133,989075 133,918125 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-27 9,4915 9,4865 14,22 14,22 134,96913 134,89803 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-28 9,4345 9,4295 14,21 14,21 134,064245 133,993195 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-29 9,4115 9,4065 14,27 14,27 134,302105 134,230755 390187 FIM Fondbolag Ab FIM Nordic Placeringsfond EUR 2005-12-30 9,4325 9,4275 14,3 14,3 134,88475 134,81325 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-03 9,0065 9,0015 10,14 10,14 91,32591 91,27521 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-04 9,0345 9,0295 10,11 10,11 91,338795 91,288245 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-05 9,0615 9,0565 10,05 10,05 91,068075 91,017825 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-07 9,0615 9,0565 10,08 10,08 91,33992 91,28952 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-10 9,08619 9,08119 10,07 10,07 91,4979333 91,4475833 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-11 9,08619 9,08119 10,09 10,09 91,6796571 91,6292071 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-12 9,0455 9,0405 10,03 10,03 90,726365 90,676215 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-13 9,0505 9,0455 10,07 10,07 91,138535 91,088185 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-14 9,0455 9,0405 10,05 10,05 90,907275 90,857025 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-17 9,0685 9,0635 10,11 10,11 91,682535 91,631985 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-18 9,0585 9,0535 10,12 10,12 91,67202 91,62142 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-19 9,0225 9,0175 10,17 10,17 91,758825 91,707975 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-20 9,0315 9,0265 10,11 10,11 91,308465 91,257915 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-21 9,0505 9,0455 10,1 10,1 91,41005 91,35955 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-24 9,0655 9,0605 10,13 10,13 91,833515 91,782865 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-25 9,0715 9,0665 10,16 10,16 92,16644 92,11564 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-26 9,0885 9,0835 10,19 10,19 92,611815 92,560865 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-27 9,0675 9,0625 10,18 10,18 92,30715 92,25625 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-28 9,0955 9,0905 10,18 10,18 92,59219 92,54129 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-01-31 9,1075 9,1025 10,26 10,26 93,44295 93,39165 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-01 9,1035 9,0985 10,31 10,31 93,857085 93,805535 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-02 9,0905 9,0855 10,31 10,31 93,723055 93,671505 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-03 9,0695 9,0645 10,33 10,33 93,687935 93,636285 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-04 9,0895 9,0845 10,36 10,36 94,16722 94,11542 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-07 9,0755 9,0705 10,48 10,48 95,11124 95,05884 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-08 9,0895 9,0845 10,49 10,49 95,348855 95,296405 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-09 9,0695 9,0645 10,48 10,48 95,04836 94,99596 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-10 9,0805 9,0755 10,43 10,43 94,709615 94,657465 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-11 9,0935 9,0885 10,44 10,44 94,93614 94,88394 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-14 9,1105 9,1055 10,49 10,49 95,569145 95,516695 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-15 9,0765 9,0715 10,47 10,47 95,030955 94,978605 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-16 9,0705 9,0655 10,48 10,48 95,05884 95,00644 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-17 9,0925 9,0875 10,46 10,46 95,10755 95,05525 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-18 9,0945 9,0895 10,49 10,49 95,401305 95,348855 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-21 9,1185 9,1135 10,48 10,48 95,56188 95,50948 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-22 9,0975 9,0925 10,46 10,46 95,15985 95,10755 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-23 9,1045 9,0995 10,41 10,41 94,777845 94,725795 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-24 9,0715 9,0665 10,46 10,46 94,88789 94,83559 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-25 9,0845 9,0795 10,5 10,5 95,38725 95,33475 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-02-28 9,0505 9,0455 10,52 10,52 95,21126 95,15866 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-01 9,0565 9,0515 10,5 10,5 95,09325 95,04075 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-02 9,0645 9,0595 10,52 10,52 95,35854 95,30594 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-03 9,0675 9,0625 10,52 10,52 95,3901 95,3375 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-04 9,0415 9,0365 10,52 10,52 95,11658 95,06398 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-07 9,0425 9,0375 10,56 10,56 95,4888 95,436 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-08 9,0345 9,0295 10,59 10,59 95,675355 95,622405 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-09 9,0365 9,0315 10,63 10,63 96,057995 96,004845 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-10 9,0655 9,0605 10,57 10,57 95,822335 95,769485 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-11 9,0795 9,0745 10,6 10,6 96,2427 96,1897 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-14 9,0695 9,0645 10,58 10,58 95,95531 95,90241 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-15 9,1035 9,0985 10,6 10,6 96,4971 96,4441 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-16 9,0975 9,0925 10,57 10,57 96,160575 96,107725 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-17 9,1045 9,0995 10,55 10,55 96,052475 95,999725 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-18 9,1035 9,0985 10,58 10,58 96,31503 96,26213 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-21 9,1265 9,1215 10,58 10,58 96,55837 96,50547 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-22 9,1265 9,1215 10,51 10,51 95,919515 95,866965 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-23 9,1165 9,1115 10,47 10,47 95,449755 95,397405 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-24 9,1135 9,1085 10,47 10,47 95,418345 95,365995 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-29 9,1315 9,1265 10,48 10,48 95,69812 95,64572 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-30 9,1425 9,1375 10,42 10,42 95,26485 95,21275 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-03-31 9,1405 9,1355 10,56 10,56 96,52368 96,47088 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-01 9,1645 9,1595 10,56 10,56 96,77712 96,72432 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-04 9,1695 9,1645 10,46 10,46 95,91297 95,86067 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-05 9,1745 9,1695 10,47 10,47 96,057015 96,004665 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-06 9,1705 9,1655 10,49 10,49 96,198545 96,146095 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-07 9,1505 9,1455 10,51 10,51 96,171755 96,119205 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-08 9,1625 9,1575 10,58 10,58 96,93925 96,88635 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-11 9,1705 9,1655 10,56 10,56 96,84048 96,78768 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-12 9,1525 9,1475 10,52 10,52 96,2843 96,2317 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-13 9,1495 9,1445 10,56 10,56 96,61872 96,56592 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-14 9,1685 9,1635 10,52 10,52 96,45262 96,40002 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-15 9,1925 9,1875 10,38 10,38 95,41815 95,36625 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-18 9,1805 9,1755 10,19 10,19 93,549295 93,498345 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-19 9,2035 9,1985 10,2 10,2 93,8757 93,8247 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-20 9,1915 9,1865 10,27 10,27 94,396705 94,345355 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-21 9,1855 9,1805 10,22 10,22 93,87581 93,82471 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-22 9,1625 9,1575 10,3 10,3 94,37375 94,32225 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-25 9,1685 9,1635 10,29 10,29 94,343865 94,292415 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-26 9,1375 9,1325 10,23 10,23 93,476625 93,425475 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-27 9,1465 9,1415 10,14 10,14 92,74551 92,69481 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-28 9,1505 9,1455 10,11 10,11 92,511555 92,461005 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-04-29 9,1705 9,1655 10,07 10,07 92,346935 92,296585 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-02 9,1935 9,1885 10,11 10,11 92,946285 92,895735 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-03 9,2245 9,2195 10,13 10,13 93,444185 93,393535 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-04 9,1915 9,1865 10,12 10,12 93,01798 92,96738 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-06 9,1715 9,1665 10,19 10,19 93,457585 93,406635 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-09 9,1815 9,1765 10,19 10,19 93,559485 93,508535 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-10 9,1985 9,1935 10,21 10,21 93,916685 93,865635 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-11 9,2105 9,2055 10,15 10,15 93,486575 93,435825 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-12 9,2315 9,2265 10,21 10,21 94,253615 94,202565 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-13 9,2045 9,1995 10,21 10,21 93,977945 93,926895 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-16 9,2145 9,2095 10,17 10,17 93,711465 93,660615 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-17 9,2325 9,2275 10,18 10,18 93,98685 93,93595 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-18 9,2095 9,2045 10,19 10,19 93,844805 93,793855 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-19 9,1905 9,1855 10,35 10,35 95,121675 95,069925 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-20 9,1955 9,1905 10,37 10,37 95,357335 95,305485 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-23 9,1805 9,1755 10,39 10,39 95,385395 95,333445 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-24 9,1815 9,1765 10,39 10,39 95,395785 95,343835 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-25 9,1785 9,1735 10,41 10,41 95,548185 95,496135 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-26 9,1945 9,1895 10,42 10,42 95,80669 95,75459 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-27 9,1955 9,1905 10,44 10,44 96,00102 95,94882 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-30 9,1905 9,1855 10,49 10,49 96,408345 96,355895 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-05-31 9,1665 9,1615 10,57 10,57 96,889905 96,837055 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-01 9,1455 9,1405 10,53 10,53 96,302115 96,249465 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-02 9,1565 9,1515 10,59 10,59 96,967335 96,914385 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-03 9,1315 9,1265 10,65 10,65 97,250475 97,197225 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-07 9,1455 9,1405 10,66 10,66 97,49103 97,43773 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-08 9,1455 9,1405 10,66 10,66 97,49103 97,43773 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-09 9,1965 9,1915 10,66 10,66 98,03469 97,98139 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-10 9,1975 9,1925 10,73 10,73 98,689175 98,635525 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-13 9,2365 9,2315 10,76 10,76 99,38474 99,33094 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-14 9,2985 9,2935 10,76 10,76 100,05186 99,99806 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-15 9,2695 9,2645 10,78 10,78 99,92521 99,87131 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-16 9,2695 9,2645 10,78 10,78 99,92521 99,87131 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-17 9,2695 9,2645 10,86 10,86 100,66677 100,61247 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-20 9,2255 9,2205 10,81 10,81 99,727655 99,673605 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-21 9,2725 9,2675 10,88 10,88 100,8848 100,8304 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-22 9,2615 9,2565 10,93 10,93 101,228195 101,173545 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-23 9,3535 9,3485 10,97 10,97 102,607895 102,553045 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-27 9,3855 9,3805 10,78 10,78 101,17569 101,12179 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-28 9,3995 9,3945 10,78 10,78 101,32661 101,27271 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-29 9,4215 9,4165 10,87 10,87 102,411705 102,357355 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-06-30 9,4415 9,4365 10,85 10,85 102,440275 102,386025 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-01 9,4595 9,4545 10,86 10,86 102,73017 102,67587 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-04 9,4795 9,4745 10,91 10,91 103,421345 103,366795 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-05 9,4575 9,4525 10,9 10,9 103,08675 103,03225 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-06 9,4195 9,4145 10,9 10,9 102,67255 102,61805 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-07 9,3965 9,3915 10,72 10,72 100,73048 100,67688 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-08 9,4175 9,4125 10,8 10,8 101,709 101,655 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-11 9,4665 9,4615 10,86 10,86 102,80619 102,75189 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-12 9,4645 9,4595 10,87 10,87 102,879115 102,824765 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-13 9,3915 9,3865 10,87 10,87 102,085605 102,031255 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-14 9,3675 9,3625 10,89 10,89 102,012075 101,957625 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-15 9,4055 9,4005 10,91 10,91 102,614005 102,559455 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-18 9,3895 9,3845 10,95 10,95 102,815025 102,760275 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-19 9,4425 9,4375 10,98 10,98 103,67865 103,62375 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-20 9,4265 9,4215 10,98 10,98 103,50297 103,44807 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-21 9,4625 9,4575 10,98 10,98 103,89825 103,84335 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-22 9,4495 9,4445 11,01 11,01 104,038995 103,983945 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-25 9,4275 9,4225 11,01 11,01 103,796775 103,741725 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-26 9,4155 9,4105 11 11 103,5705 103,5155 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-27 9,4725 9,4675 11,06 11,06 104,76585 104,71055 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-28 9,4515 9,4465 11,06 11,06 104,53359 104,47829 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-07-29 9,3885 9,3835 11,1 11,1 104,21235 104,15685 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-01 9,3985 9,3935 11,06 11,06 103,94741 103,89211 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-02 9,3995 9,3945 11,08 11,08 104,14646 104,09106 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-03 9,3755 9,3705 11,1 11,1 104,06805 104,01255 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-04 9,3735 9,3685 11,16 11,16 104,60826 104,55246 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-05 9,3355 9,3305 11,17 11,17 104,277535 104,221685 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-08 9,3335 9,3285 11,19 11,19 104,441865 104,385915 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-09 9,3455 9,3405 11,17 11,17 104,389235 104,333385 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-10 9,3535 9,3485 11,24 11,24 105,13334 105,07714 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-11 9,3365 9,3315 11,25 11,25 105,035625 104,979375 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-12 9,3025 9,2975 11,25 11,25 104,653125 104,596875 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-15 9,3065 9,3015 11,21 11,21 104,325865 104,269815 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-16 9,2995 9,2945 11,28 11,28 104,89836 104,84196 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-17 9,3405 9,3355 11,19 11,19 104,520195 104,464245 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-18 9,3365 9,3315 11,26 11,26 105,12899 105,07269 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-19 9,3395 9,3345 11,22 11,22 104,78919 104,73309 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-22 9,3655 9,3605 11,19 11,19 104,799945 104,743995 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-23 9,3715 9,3665 11,19 11,19 104,867085 104,811135 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-24 9,3365 9,3315 11,14 11,14 104,00861 103,95291 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-25 9,3335 9,3285 11,08 11,08 103,41518 103,35978 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-26 9,3415 9,3365 11,1 11,1 103,69065 103,63515 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-29 9,3295 9,3245 11,05 11,05 103,090975 103,035725 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-30 9,3285 9,3235 11,12 11,12 103,73292 103,67732 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-08-31 9,3585 9,3535 11,12 11,12 104,06652 104,01092 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-01 9,3365 9,3315 11,16 11,16 104,19534 104,13954 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-02 9,3025 9,2975 11,1 11,1 103,25775 103,20225 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-05 9,2845 9,2795 11,15 11,15 103,522175 103,466425 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-06 9,3225 9,3175 11,13 11,13 103,759425 103,703775 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-07 9,3075 9,3025 11,22 11,22 104,43015 104,37405 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-08 9,3255 9,3205 11,27 11,27 105,098385 105,042035 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-09 9,3445 9,3395 11,27 11,27 105,312515 105,256165 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-12 9,3015 9,2965 11,32 11,32 105,29298 105,23638 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-13 9,3015 9,2965 11,28 11,28 104,92092 104,86452 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-14 9,3365 9,3315 11,27 11,27 105,222355 105,166005 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-15 9,3425 9,3375 11,29 11,29 105,476825 105,420375 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-16 9,3465 9,3415 11,37 11,37 106,269705 106,212855 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-19 9,3355 9,3305 11,41 11,41 106,518055 106,461005 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-20 9,3395 9,3345 11,39 11,39 106,376905 106,319955 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-21 9,3405 9,3355 11,26 11,26 105,17403 105,11773 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-22 9,3405 9,3355 11,18 11,18 104,42679 104,37089 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-23 9,3695 9,3645 11,27 11,27 105,594265 105,537915 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-26 9,3815 9,3765 11,33 11,33 106,292395 106,235745 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-27 9,3885 9,3835 11,35 11,35 106,559475 106,502725 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-28 9,3935 9,3885 11,35 11,35 106,616225 106,559475 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-29 9,3845 9,3795 11,39 11,39 106,889455 106,832505 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-09-30 9,3435 9,3385 11,41 11,41 106,609335 106,552285 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-03 9,3025 9,2975 11,47 11,47 106,699675 106,642325 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-04 9,3185 9,3135 11,56 11,56 107,72186 107,66406 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-05 9,3105 9,3055 11,55 11,55 107,536275 107,478525 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-06 9,3015 9,2965 11,35 11,35 105,572025 105,515275 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-07 9,3385 9,3335 11,22 11,22 104,77797 104,72187 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-10 9,3465 9,3415 11,29 11,29 105,521985 105,465535 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-11 9,3395 9,3345 11,31 11,31 105,629745 105,573195 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-12 9,3375 9,3325 11,31 11,31 105,607125 105,550575 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-13 9,3815 9,3765 11,07 11,07 103,853205 103,797855 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-14 9,4135 9,4085 11,13 11,13 104,772255 104,716605 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-17 9,4575 9,4525 11,13 11,13 105,261975 105,206325 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-18 9,4625 9,4575 11,13 11,13 105,317625 105,261975 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-19 9,4605 9,4555 10,92 10,92 103,30866 103,25406 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-20 9,4935 9,4885 11,01 11,01 104,523435 104,468385 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-21 9,4915 9,4865 10,89 10,89 103,362435 103,307985 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-24 9,5455 9,5405 10,91 10,91 104,141405 104,086855 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-25 9,5465 9,5415 10,95 10,95 104,534175 104,479425 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-26 9,4975 9,4925 10,94 10,94 103,90265 103,84795 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-27 9,5355 9,5305 10,89 10,89 103,841595 103,787145 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-28 9,5135 9,5085 10,8 10,8 102,7458 102,6918 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-10-31 9,5495 9,5445 10,96 10,96 104,66252 104,60772 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-01 9,5495 9,5445 11,02 11,02 105,23549 105,18039 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-02 9,5855 9,5805 11,07 11,07 106,111485 106,056135 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-03 9,6515 9,6465 11,18 11,18 107,90377 107,84787 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-04 9,5875 9,5825 11,22 11,22 107,57175 107,51565 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-07 9,6075 9,6025 11,27 11,27 108,276525 108,220175 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-08 9,5685 9,5635 11,35 11,35 108,602475 108,545725 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-09 9,5575 9,5525 11,38 11,38 108,76435 108,70745 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-10 9,6105 9,6055 11,35 11,35 109,079175 109,022425 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-11 9,6365 9,6315 11,44 11,44 110,24156 110,18436 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-14 9,5505 9,5455 11,44 11,44 109,25772 109,20052 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-15 9,5805 9,5755 11,39 11,39 109,121895 109,064945 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-16 9,6235 9,6185 11,35 11,35 109,226725 109,169975 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-17 9,6355 9,6305 11,37 11,37 109,555635 109,498785 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-18 9,6085 9,6035 11,4 11,4 109,5369 109,4799 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-21 9,5915 9,5865 11,71 11,71 112,316465 112,257915 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-22 9,5585 9,5535 11,75 11,75 112,312375 112,253625 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-23 9,5155 9,5105 11,78 11,78 112,09259 112,03369 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-24 9,5125 9,5075 11,83 11,83 112,532875 112,473725 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-25 9,4965 9,4915 11,87 11,87 112,723455 112,664105 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-28 9,4835 9,4785 11,89 11,89 112,758815 112,699365 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-29 9,4785 9,4735 11,89 11,89 112,699365 112,639915 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-11-30 9,5295 9,5245 11,93 11,93 113,686935 113,627285 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-01 9,5165 9,5115 11,98 11,98 114,00767 113,94777 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-02 9,4905 9,4855 12,11 12,11 114,929955 114,869405 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-05 9,4065 9,4015 12,21 12,21 114,853365 114,792315 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-07 9,4255 9,4205 12,26 12,26 115,55663 115,49533 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-08 9,3965 9,3915 12,22 12,22 114,82523 114,76413 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-12 9,4315 9,4265 12,2 12,2 115,0643 115,0033 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-13 9,4295 9,4245 12,2 12,2 115,0399 114,9789 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-14 9,4365 9,4315 12,24 12,24 115,50276 115,44156 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-15 9,4345 9,4295 12,3 12,3 116,04435 115,98285 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-16 9,4765 9,4715 12,32 12,32 116,75048 116,68888 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-19 9,4535 9,4485 12,31 12,31 116,372585 116,311035 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-20 9,4015 9,3965 12,28 12,28 115,45042 115,38902 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-21 9,4485 9,4435 12,29 12,29 116,122065 116,060615 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-22 9,4365 9,4315 12,41 12,41 117,106965 117,044915 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-23 9,4425 9,4375 12,39 12,39 116,992575 116,930625 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-27 9,4915 9,4865 12,42 12,42 117,88443 117,82233 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-28 9,4345 9,4295 12,4 12,4 116,9878 116,9258 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-29 9,4115 9,4065 12,45 12,45 117,173175 117,110925 432153 FIM Fondbolag Ab FIM Rento Fritid Placeringsfond EUR 2005-12-30 9,4325 9,4275 12,44 12,44 117,3403 117,2781 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-03 9,0065 9,0015 39,64 39,64 357,01766 356,81946 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-04 9,0345 9,0295 39,56 39,56 357,40482 357,20702 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-05 9,0615 9,0565 39,45 39,45 357,476175 357,278925 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-07 9,0615 9,0565 39,43 39,43 357,294945 357,097795 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-10 9,08619 9,08119 39,41 39,41 358,0867479 357,8896979 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-11 9,08619 9,08119 39,47 39,47 358,6319193 358,4345693 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-12 9,0455 9,0405 39,36 39,36 356,03088 355,83408 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-13 9,0505 9,0455 39,43 39,43 356,861215 356,664065 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-14 9,0455 9,0405 39,94 39,94 361,27727 361,07757 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-17 9,0685 9,0635 39,94 39,94 362,19589 361,99619 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-18 9,0585 9,0535 39,8 39,8 360,5283 360,3293 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-19 9,0225 9,0175 39,4 39,4 355,4865 355,2895 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-20 9,0315 9,0265 39,17 39,17 353,763855 353,568005 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-21 9,0505 9,0455 39,15 39,15 354,327075 354,131325 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-24 9,0655 9,0605 39,19 39,19 355,276945 355,080995 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-25 9,0715 9,0665 39,38 39,38 357,23567 357,03877 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-26 9,0885 9,0835 39,57 39,57 359,631945 359,434095 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-27 9,0675 9,0625 39,83 39,83 361,158525 360,959375 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-28 9,0955 9,0905 40,48 40,48 368,18584 367,98344 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-01-31 9,1075 9,1025 41,1 41,1 374,31825 374,11275 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-01 9,1035 9,0985 41,76 41,76 380,16216 379,95336 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-02 9,0905 9,0855 42,82 42,82 389,25521 389,04111 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-03 9,0695 9,0645 43,35 43,35 393,162825 392,946075 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-04 9,0895 9,0845 43,49 43,49 395,302355 395,084905 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-07 9,0755 9,0705 43,66 43,66 396,23633 396,01803 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-08 9,0895 9,0845 43,62 43,62 396,48399 396,26589 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-09 9,0695 9,0645 43,86 43,86 397,78827 397,56897 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-10 9,0805 9,0755 43,69 43,69 396,727045 396,508595 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-11 9,0935 9,0885 43,93 43,93 399,477455 399,257805 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-14 9,1105 9,1055 43,91 43,91 400,042055 399,822505 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-15 9,0765 9,0715 44,18 44,18 400,99977 400,77887 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-16 9,0705 9,0655 44,41 44,41 402,820905 402,598855 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-17 9,0925 9,0875 44,88 44,88 408,0714 407,847 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-18 9,0945 9,0895 45,08 45,08 409,98006 409,75466 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-21 9,1185 9,1135 45,13 45,13 411,517905 411,292255 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-22 9,0975 9,0925 44,92 44,92 408,6597 408,4351 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-23 9,1045 9,0995 44,9 44,9 408,79205 408,56755 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-24 9,0715 9,0665 45,47 45,47 412,481105 412,253755 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-25 9,0845 9,0795 46,57 46,57 423,065165 422,832315 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-02-28 9,0505 9,0455 47,25 47,25 427,636125 427,399875 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-01 9,0565 9,0515 47,68 47,68 431,81392 431,57552 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-02 9,0645 9,0595 47,69 47,69 432,286005 432,047555 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-03 9,0675 9,0625 47,12 47,12 427,2606 427,025 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-04 9,0415 9,0365 47,13 47,13 426,125895 425,890245 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-07 9,0425 9,0375 47,32 47,32 427,8911 427,6545 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-08 9,0345 9,0295 47,41 47,41 428,325645 428,088595 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-09 9,0365 9,0315 47,43 47,43 428,601195 428,364045 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-10 9,0655 9,0605 46,92 46,92 425,35326 425,11866 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-11 9,0795 9,0745 46,79 46,79 424,829805 424,595855 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-14 9,0695 9,0645 46,78 46,78 424,27121 424,03731 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-15 9,1035 9,0985 46,39 46,39 422,311365 422,079415 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-16 9,0975 9,0925 45,97 45,97 418,212075 417,982225 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-17 9,1045 9,0995 45,7 45,7 416,07565 415,84715 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-18 9,1035 9,0985 45,82 45,82 417,12237 416,89327 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-21 9,1265 9,1215 45,54 45,54 415,62081 415,39311 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-22 9,1265 9,1215 45,78 45,78 417,81117 417,58227 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-23 9,1165 9,1115 45,17 45,17 411,792305 411,566455 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-24 9,1135 9,1085 45,35 45,35 413,297225 413,070475 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-29 9,1315 9,1265 45,11 45,11 411,921965 411,696415 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-30 9,1425 9,1375 44,52 44,52 407,0241 406,8015 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-03-31 9,1405 9,1355 44,46 44,46 406,38663 406,16433 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-01 9,1645 9,1595 44,78 44,78 410,38631 410,16241 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-04 9,1695 9,1645 45,06 45,06 413,17767 412,95237 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-05 9,1745 9,1695 45,4 45,4 416,5223 416,2953 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-06 9,1705 9,1655 45,93 45,93 421,201065 420,971415 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-07 9,1505 9,1455 46,01 46,01 421,014505 420,784455 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-08 9,1625 9,1575 46,41 46,41 425,231625 424,999575 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-11 9,1705 9,1655 45,76 45,76 419,64208 419,41328 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-12 9,1525 9,1475 45,5 45,5 416,43875 416,21125 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-13 9,1495 9,1445 45,7 45,7 418,13215 417,90365 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-14 9,1685 9,1635 45,26 45,26 414,96631 414,74001 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-15 9,1925 9,1875 44,96 44,96 413,2948 413,07 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-18 9,1805 9,1755 44,29 44,29 406,604345 406,382895 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-19 9,2035 9,1985 44,31 44,31 407,807085 407,585535 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-20 9,1915 9,1865 44,44 44,44 408,47026 408,24806 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-21 9,1855 9,1805 44,34 44,34 407,28507 407,06337 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-22 9,1625 9,1575 44,62 44,62 408,83075 408,60765 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-25 9,1685 9,1635 44,46 44,46 407,63151 407,40921 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-26 9,1375 9,1325 44,43 44,43 405,979125 405,756975 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-27 9,1465 9,1415 44,2 44,2 404,2753 404,0543 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-28 9,1505 9,1455 43,71 43,71 399,968355 399,749805 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-04-29 9,1705 9,1655 43,3 43,3 397,08265 396,86615 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-02 9,1935 9,1885 43,49 43,49 399,825315 399,607865 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-03 9,2245 9,2195 43,5 43,5 401,26575 401,04825 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-04 9,1915 9,1865 43,37 43,37 398,635355 398,418505 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-06 9,1715 9,1665 43,57 43,57 399,602255 399,384405 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-09 9,1815 9,1765 43,62 43,62 400,49703 400,27893 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-10 9,1985 9,1935 43,62 43,62 401,23857 401,02047 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-11 9,2105 9,2055 43,37 43,37 399,459385 399,242535 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-12 9,2315 9,2265 42,98 42,98 396,76987 396,55497 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-13 9,2045 9,1995 42,61 42,61 392,203745 391,990695 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-16 9,2145 9,2095 42,44 42,44 391,06338 390,85118 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-17 9,2325 9,2275 42,21 42,21 389,703825 389,492775 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-18 9,2095 9,2045 42,52 42,52 391,58794 391,37534 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-19 9,1905 9,1855 42,69 42,69 392,342445 392,128995 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-20 9,1955 9,1905 42,8 42,8 393,5674 393,3534 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-23 9,1805 9,1755 42,88 42,88 393,65984 393,44544 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-24 9,1815 9,1765 43,49 43,49 399,303435 399,085985 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-25 9,1785 9,1735 43,76 43,76 401,65116 401,43236 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-26 9,1945 9,1895 43,58 43,58 400,69631 400,47841 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-27 9,1955 9,1905 43,93 43,93 403,958315 403,738665 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-30 9,1905 9,1855 43,87 43,87 403,187235 402,967885 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-05-31 9,1665 9,1615 44,09 44,09 404,150985 403,930535 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-01 9,1455 9,1405 44,28 44,28 404,96274 404,74134 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-02 9,1565 9,1515 44,32 44,32 405,81608 405,59448 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-03 9,1315 9,1265 44,2 44,2 403,6123 403,3913 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-07 9,1455 9,1405 44,15 44,15 403,773825 403,553075 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-08 9,1455 9,1405 44,2 44,2 404,2311 404,0101 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-09 9,1965 9,1915 44,23 44,23 406,761195 406,540045 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-10 9,1975 9,1925 44,2 44,2 406,5295 406,3085 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-13 9,2365 9,2315 44,31 44,31 409,269315 409,047765 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-14 9,2985 9,2935 44,37 44,37 412,574445 412,352595 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-15 9,2695 9,2645 44,4 44,4 411,5658 411,3438 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-16 9,2695 9,2645 44,16 44,16 409,34112 409,12032 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-17 9,2695 9,2645 44,13 44,13 409,063035 408,842385 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-20 9,2255 9,2205 44,33 44,33 408,966415 408,744765 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-21 9,2725 9,2675 44,42 44,42 411,88445 411,66235 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-22 9,2615 9,2565 44,61 44,61 413,155515 412,932465 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-23 9,3535 9,3485 44,98 44,98 420,72043 420,49553 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-27 9,3855 9,3805 44,9 44,9 421,40895 421,18445 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-28 9,3995 9,3945 44,87 44,87 421,755565 421,531215 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-29 9,4215 9,4165 44,86 44,86 422,64849 422,42419 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-06-30 9,4415 9,4365 45,1 45,1 425,81165 425,58615 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-01 9,4595 9,4545 45,77 45,77 432,961315 432,732465 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-04 9,4795 9,4745 46,16 46,16 437,57372 437,34292 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-05 9,4575 9,4525 46,34 46,34 438,26055 438,02885 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-06 9,4195 9,4145 47,08 47,08 443,47006 443,23466 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-07 9,3965 9,3915 47,12 47,12 442,76308 442,52748 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-08 9,4175 9,4125 47,46 47,46 446,95455 446,71725 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-11 9,4665 9,4615 47,62 47,62 450,79473 450,55663 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-12 9,4645 9,4595 47,57 47,57 450,226265 449,988415 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-13 9,3915 9,3865 47,91 47,91 449,946765 449,707215 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-14 9,3675 9,3625 48,17 48,17 451,232475 450,991625 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-15 9,4055 9,4005 47,94 47,94 450,89967 450,65997 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-18 9,3895 9,3845 47,85 47,85 449,287575 449,048325 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-19 9,4425 9,4375 47,84 47,84 451,7292 451,49 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-20 9,4265 9,4215 48,26 48,26 454,92289 454,68159 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-21 9,4625 9,4575 48,35 48,35 457,511875 457,270125 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-22 9,4495 9,4445 48,58 48,58 459,05671 458,81381 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-25 9,4275 9,4225 49,2 49,2 463,833 463,587 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-26 9,4155 9,4105 48,99 48,99 461,265345 461,020395 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-27 9,4725 9,4675 48,96 48,96 463,7736 463,5288 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-28 9,4515 9,4465 49,38 49,38 466,71507 466,46817 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-07-29 9,3885 9,3835 49,71 49,71 466,702335 466,453785 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-01 9,3985 9,3935 49,55 49,55 465,695675 465,447925 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-02 9,3995 9,3945 50,06 50,06 470,53897 470,28867 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-03 9,3755 9,3705 50,05 50,05 469,243775 468,993525 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-04 9,3735 9,3685 50,13 50,13 469,893555 469,642905 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-05 9,3355 9,3305 50,66 50,66 472,93643 472,68313 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-08 9,3335 9,3285 50,99 50,99 475,915165 475,660215 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-09 9,3455 9,3405 51,31 51,31 479,517605 479,261055 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-10 9,3535 9,3485 51,41 51,41 480,863435 480,606385 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-11 9,3365 9,3315 51,36 51,36 479,52264 479,26584 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-12 9,3025 9,2975 51,35 51,35 477,683375 477,426625 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-15 9,3065 9,3015 52,04 52,04 484,31026 484,05006 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-16 9,2995 9,2945 52,85 52,85 491,478575 491,214325 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-17 9,3405 9,3355 53,52 53,52 499,90356 499,63596 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-18 9,3365 9,3315 53,44 53,44 498,94256 498,67536 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-19 9,3395 9,3345 53,92 53,92 503,58584 503,31624 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-22 9,3655 9,3605 54,13 54,13 506,954515 506,683865 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-23 9,3715 9,3665 54,21 54,21 508,029015 507,757965 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-24 9,3365 9,3315 54,37 54,37 507,625505 507,353655 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-25 9,3335 9,3285 54,39 54,39 507,649065 507,377115 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-26 9,3415 9,3365 54,69 54,69 510,886635 510,613185 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-29 9,3295 9,3245 54,85 54,85 511,723075 511,448825 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-30 9,3285 9,3235 55,59 55,59 518,571315 518,293365 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-08-31 9,3585 9,3535 55,36 55,36 518,08656 517,80976 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-01 9,3365 9,3315 55,93 55,93 522,190445 521,910795 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-02 9,3025 9,2975 56,35 56,35 524,195875 523,914125 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-05 9,2845 9,2795 56,91 56,91 528,380895 528,096345 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-06 9,3225 9,3175 56,49 56,49 526,628025 526,345575 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-07 9,3075 9,3025 55,53 55,53 516,845475 516,567825 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-08 9,3255 9,3205 55,84 55,84 520,73592 520,45672 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-09 9,3445 9,3395 56,83 56,83 531,047935 530,763785 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-12 9,3015 9,2965 57,58 57,58 535,58037 535,29247 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-13 9,3015 9,2965 57,57 57,57 535,487355 535,199505 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-14 9,3365 9,3315 57,12 57,12 533,30088 533,01528 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-15 9,3425 9,3375 57,64 57,64 538,5017 538,2135 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-16 9,3465 9,3415 58,69 58,69 548,546085 548,252635 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-19 9,3355 9,3305 59,24 59,24 553,03502 552,73882 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-20 9,3395 9,3345 59,16 59,16 552,52482 552,22902 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-21 9,3405 9,3355 59,5 59,5 555,75975 555,46225 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-22 9,3405 9,3355 60,3 60,3 563,23215 562,93065 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-23 9,3695 9,3645 60,98 60,98 571,35211 571,04721 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-26 9,3815 9,3765 61,03 61,03 572,552945 572,247795 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-27 9,3885 9,3835 62 62 582,087 581,777 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-28 9,3935 9,3885 62,4 62,4 586,1544 585,8424 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-29 9,3845 9,3795 63,03 63,03 591,505035 591,189885 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-09-30 9,3435 9,3385 63,92 63,92 597,23652 596,91692 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-03 9,3025 9,2975 65,79 65,79 612,011475 611,682525 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-04 9,3185 9,3135 66,83 66,83 622,755355 622,421205 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-05 9,3105 9,3055 66,64 66,64 620,45172 620,11852 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-06 9,3015 9,2965 63,7 63,7 592,50555 592,18705 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-07 9,3385 9,3335 62,25 62,25 581,321625 581,010375 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-10 9,3465 9,3415 62,55 62,55 584,623575 584,310825 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-11 9,3395 9,3345 63,18 63,18 590,06961 589,75371 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-12 9,3375 9,3325 63,63 63,63 594,145125 593,826975 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-13 9,3815 9,3765 61,82 61,82 579,96433 579,65523 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-14 9,4135 9,4085 61,26 61,26 576,67101 576,36471 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-17 9,4575 9,4525 60,66 60,66 573,69195 573,38865 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-18 9,4625 9,4575 61,44 61,44 581,376 581,0688 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-19 9,4605 9,4555 60,07 60,07 568,292235 567,991885 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-20 9,4935 9,4885 60 60 569,61 569,31 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-21 9,4915 9,4865 59,08 59,08 560,75782 560,46242 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-24 9,5455 9,5405 59,59 59,59 568,816345 568,518395 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-25 9,5465 9,5415 59,96 59,96 572,40814 572,10834 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-26 9,4975 9,4925 59,95 59,95 569,375125 569,075375 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-27 9,5355 9,5305 59,63 59,63 568,601865 568,303715 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-28 9,5135 9,5085 59,68 59,68 567,76568 567,46728 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-10-31 9,5495 9,5445 60,26 60,26 575,45287 575,15157 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-01 9,5495 9,5445 60,91 60,91 581,660045 581,355495 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-02 9,5855 9,5805 61,29 61,29 587,495295 587,188845 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-03 9,6515 9,6465 61,81 61,81 596,559215 596,250165 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-04 9,5875 9,5825 62,56 62,56 599,794 599,4812 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-07 9,6075 9,6025 62,44 62,44 599,8923 599,5801 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-08 9,5685 9,5635 62,58 62,58 598,79673 598,48383 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-09 9,5575 9,5525 62,81 62,81 600,306575 599,992525 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-10 9,6105 9,6055 62,7 62,7 602,57835 602,26485 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-11 9,6365 9,6315 62,24 62,24 599,77576 599,46456 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-14 9,5505 9,5455 62,46 62,46 596,52423 596,21193 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-15 9,5805 9,5755 62,28 62,28 596,67354 596,36214 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-16 9,6235 9,6185 61,75 61,75 594,251125 593,942375 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-17 9,6355 9,6305 62,37 62,37 600,966135 600,654285 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-18 9,6085 9,6035 62,53 62,53 600,819505 600,506855 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-21 9,5915 9,5865 62,58 62,58 600,23607 599,92317 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-22 9,5585 9,5535 62,86 62,86 600,84731 600,53301 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-23 9,5155 9,5105 62,79 62,79 597,478245 597,164295 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-24 9,5125 9,5075 63,22 63,22 601,38025 601,06415 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-25 9,4965 9,4915 63,29 63,29 601,033485 600,717035 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-28 9,4835 9,4785 63,94 63,94 606,37499 606,05529 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-29 9,4785 9,4735 63,61 63,61 602,927385 602,609335 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-11-30 9,5295 9,5245 63,56 63,56 605,69502 605,37722 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-01 9,5165 9,5115 64,18 64,18 610,76897 610,44807 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-02 9,4905 9,4855 64,96 64,96 616,50288 616,17808 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-05 9,4065 9,4015 64,86 64,86 610,10559 609,78129 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-07 9,4255 9,4205 65,1 65,1 613,60005 613,27455 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-08 9,3965 9,3915 65,21 65,21 612,745765 612,419715 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-12 9,4315 9,4265 65,41 65,41 616,914415 616,587365 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-13 9,4295 9,4245 65,68 65,68 619,32956 619,00116 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-14 9,4365 9,4315 65,72 65,72 620,16678 619,83818 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-15 9,4345 9,4295 66,51 66,51 627,488595 627,156045 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-16 9,4765 9,4715 66,37 66,37 628,955305 628,623455 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-19 9,4535 9,4485 66,33 66,33 627,050655 626,719005 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-20 9,4015 9,3965 66,24 66,24 622,75536 622,42416 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-21 9,4485 9,4435 66,58 66,58 629,08113 628,74823 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-22 9,4365 9,4315 67,08 67,08 633,00042 632,66502 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-23 9,4425 9,4375 67,08 67,08 633,4029 633,0675 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-27 9,4915 9,4865 67,09 67,09 636,784735 636,449285 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-28 9,4345 9,4295 66,22 66,22 624,75259 624,42149 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-29 9,4115 9,4065 66,71 66,71 627,841165 627,507615 396325 FIM Fondbolag Ab FIM Russia Placeringsfond EUR 2005-12-30 9,4325 9,4275 66,84 66,84 630,4683 630,1341 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-03 9,0065 9,0015 10,93 10,93 98,441045 98,386395 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-04 9,0345 9,0295 10,86 10,86 98,11467 98,06037 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-05 9,0615 9,0565 10,73 10,73 97,229895 97,176245 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-07 9,0615 9,0565 10,78 10,78 97,68297 97,62907 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-10 9,08619 9,08119 10,78 10,78 97,9491282 97,8952282 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-11 9,08619 9,08119 10,76 10,76 97,7674044 97,7136044 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-12 9,0455 9,0405 10,71 10,71 96,877305 96,823755 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-13 9,0505 9,0455 10,75 10,75 97,292875 97,239125 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-14 9,0455 9,0405 10,6 10,6 95,8823 95,8293 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-17 9,0685 9,0635 10,69 10,69 96,942265 96,888815 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-18 9,0585 9,0535 10,63 10,63 96,291855 96,238705 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-19 9,0225 9,0175 10,66 10,66 96,17985 96,12655 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-20 9,0315 9,0265 10,42 10,42 94,10823 94,05613 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-21 9,0505 9,0455 10,33 10,33 93,491665 93,440015 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-24 9,0655 9,0605 10,23 10,23 92,740065 92,688915 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-25 9,0715 9,0665 10,21 10,21 92,620015 92,568965 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-26 9,0885 9,0835 10,28 10,28 93,42978 93,37838 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-27 9,0675 9,0625 10,44 10,44 94,6647 94,6125 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-28 9,0955 9,0905 10,42 10,42 94,77511 94,72301 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-01-31 9,1075 9,1025 10,47 10,47 95,355525 95,303175 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-01 9,1035 9,0985 10,54 10,54 95,95089 95,89819 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-02 9,0905 9,0855 10,63 10,63 96,632015 96,578865 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-03 9,0695 9,0645 10,66 10,66 96,68087 96,62757 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-04 9,0895 9,0845 10,7 10,7 97,25765 97,20415 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-07 9,0755 9,0705 10,9 10,9 98,92295 98,86845 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-08 9,0895 9,0845 10,84 10,84 98,53018 98,47598 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-09 9,0695 9,0645 10,92 10,92 99,03894 98,98434 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-10 9,0805 9,0755 10,78 10,78 97,88779 97,83389 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-11 9,0935 9,0885 10,78 10,78 98,02793 97,97403 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-14 9,1105 9,1055 10,87 10,87 99,031135 98,976785 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-15 9,0765 9,0715 10,99 10,99 99,750735 99,695785 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-16 9,0705 9,0655 10,88 10,88 98,68704 98,63264 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-17 9,0925 9,0875 10,88 10,88 98,9264 98,872 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-18 9,0945 9,0895 10,86 10,86 98,76627 98,71197 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-21 9,1185 9,1135 10,84 10,84 98,84454 98,79034 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-22 9,0975 9,0925 10,83 10,83 98,525925 98,471775 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-23 9,1045 9,0995 10,86 10,86 98,87487 98,82057 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-24 9,0715 9,0665 10,87 10,87 98,607205 98,552855 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-25 9,0845 9,0795 10,98 10,98 99,74781 99,69291 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-02-28 9,0505 9,0455 11,06 11,06 100,09853 100,04323 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-01 9,0565 9,0515 11,04 11,04 99,98376 99,92856 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-02 9,0645 9,0595 11,1 11,1 100,61595 100,56045 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-03 9,0675 9,0625 11,04 11,04 100,1052 100,05 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-04 9,0415 9,0365 11,09 11,09 100,270235 100,214785 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-07 9,0425 9,0375 11,13 11,13 100,643025 100,587375 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-08 9,0345 9,0295 11,19 11,19 101,096055 101,040105 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-09 9,0365 9,0315 11,17 11,17 100,937705 100,881855 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-10 9,0655 9,0605 11,06 11,06 100,26443 100,20913 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-11 9,0795 9,0745 11,09 11,09 100,691655 100,636205 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-14 9,0695 9,0645 11,07 11,07 100,399365 100,344015 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-15 9,1035 9,0985 11,01 11,01 100,229535 100,174485 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-16 9,0975 9,0925 10,81 10,81 98,343975 98,289925 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-17 9,1045 9,0995 10,72 10,72 97,60024 97,54664 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-18 9,1035 9,0985 10,77 10,77 98,044695 97,990845 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-21 9,1265 9,1215 10,77 10,77 98,292405 98,238555 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-22 9,1265 9,1215 10,73 10,73 97,927345 97,873695 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-23 9,1165 9,1115 10,64 10,64 96,99956 96,94636 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-24 9,1135 9,1085 10,65 10,65 97,058775 97,005525 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-29 9,1315 9,1265 10,62 10,62 96,97653 96,92343 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-30 9,1425 9,1375 10,49 10,49 95,904825 95,852375 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-03-31 9,1405 9,1355 10,62 10,62 97,07211 97,01901 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-01 9,1645 9,1595 10,66 10,66 97,69357 97,64027 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-04 9,1695 9,1645 10,55 10,55 96,738225 96,685475 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-05 9,1745 9,1695 10,61 10,61 97,341445 97,288395 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-06 9,1705 9,1655 10,65 10,65 97,665825 97,612575 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-07 9,1505 9,1455 10,76 10,76 98,45938 98,40558 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-08 9,1625 9,1575 11,33 11,33 103,811125 103,754475 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-11 9,1705 9,1655 10,93 10,93 100,233565 100,178915 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-12 9,1525 9,1475 10,9 10,9 99,76225 99,70775 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-13 9,1495 9,1445 10,91 10,91 99,821045 99,766495 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-14 9,1685 9,1635 10,88 10,88 99,75328 99,69888 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-15 9,1925 9,1875 10,77 10,77 99,003225 98,949375 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-18 9,1805 9,1755 10,55 10,55 96,854275 96,801525 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-19 9,2035 9,1985 10,59 10,59 97,465065 97,412115 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-20 9,1915 9,1865 10,64 10,64 97,79756 97,74436 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-21 9,1855 9,1805 10,63 10,63 97,641865 97,588715 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-22 9,1625 9,1575 10,74 10,74 98,40525 98,35155 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-25 9,1685 9,1635 10,54 10,54 96,63599 96,58329 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-26 9,1375 9,1325 10,38 10,38 94,84725 94,79535 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-27 9,1465 9,1415 10,18 10,18 93,11137 93,06047 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-28 9,1505 9,1455 10,15 10,15 92,877575 92,826825 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-04-29 9,1705 9,1655 10,05 10,05 92,163525 92,113275 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-02 9,1935 9,1885 10,13 10,13 93,130155 93,079505 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-03 9,2245 9,2195 10,08 10,08 92,98296 92,93256 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-04 9,1915 9,1865 10,11 10,11 92,926065 92,875515 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-06 9,1715 9,1665 10,23 10,23 93,824445 93,773295 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-09 9,1815 9,1765 10,35 10,35 95,028525 94,976775 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-10 9,1985 9,1935 10,32 10,32 94,92852 94,87692 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-11 9,2105 9,2055 10,25 10,25 94,407625 94,356375 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-12 9,2315 9,2265 10,29 10,29 94,992135 94,940685 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-13 9,2045 9,1995 10,28 10,28 94,62226 94,57086 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-16 9,2145 9,2095 10,28 10,28 94,72506 94,67366 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-17 9,2325 9,2275 10,29 10,29 95,002425 94,950975 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-18 9,2095 9,2045 10,36 10,36 95,41042 95,35862 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-19 9,1905 9,1855 10,43 10,43 95,856915 95,804765 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-20 9,1955 9,1905 10,54 10,54 96,92057 96,86787 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-23 9,1805 9,1755 10,58 10,58 97,12969 97,07679 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-24 9,1815 9,1765 10,57 10,57 97,048455 96,995605 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-25 9,1785 9,1735 10,6 10,6 97,2921 97,2391 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-26 9,1945 9,1895 10,54 10,54 96,91003 96,85733 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-27 9,1955 9,1905 10,6 10,6 97,4723 97,4193 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-30 9,1905 9,1855 10,64 10,64 97,78692 97,73372 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-05-31 9,1665 9,1615 10,67 10,67 97,806555 97,753205 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-01 9,1455 9,1405 10,73 10,73 98,131215 98,077565 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-02 9,1565 9,1515 10,76 10,76 98,52394 98,47014 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-03 9,1315 9,1265 10,79 10,79 98,528885 98,474935 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-07 9,1455 9,1405 10,77 10,77 98,497035 98,443185 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-08 9,1455 9,1405 10,76 10,76 98,40558 98,35178 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-09 9,1965 9,1915 10,79 10,79 99,230235 99,176285 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-10 9,1975 9,1925 10,87 10,87 99,976825 99,922475 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-13 9,2365 9,2315 10,92 10,92 100,86258 100,80798 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-14 9,2985 9,2935 10,91 10,91 101,446635 101,392085 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-15 9,2695 9,2645 10,93 10,93 101,315635 101,260985 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-16 9,2695 9,2645 10,94 10,94 101,40833 101,35363 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-17 9,2695 9,2645 10,91 10,91 101,130245 101,075695 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-20 9,2255 9,2205 10,88 10,88 100,37344 100,31904 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-21 9,2725 9,2675 10,91 10,91 101,162975 101,108425 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-22 9,2615 9,2565 10,96 10,96 101,50604 101,45124 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-23 9,3535 9,3485 10,99 10,99 102,794965 102,740015 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-27 9,3855 9,3805 10,85 10,85 101,832675 101,778425 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-28 9,3995 9,3945 10,82 10,82 101,70259 101,64849 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-29 9,4215 9,4165 10,91 10,91 102,788565 102,734015 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-06-30 9,4415 9,4365 10,83 10,83 102,251445 102,197295 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-01 9,4595 9,4545 10,79 10,79 102,068005 102,014055 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-04 9,4795 9,4745 10,88 10,88 103,13696 103,08256 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-05 9,4575 9,4525 10,9 10,9 103,08675 103,03225 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-06 9,4195 9,4145 11,01 11,01 103,708695 103,653645 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-07 9,3965 9,3915 10,9 10,9 102,42185 102,36735 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-08 9,4175 9,4125 11,02 11,02 103,78085 103,72575 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-11 9,4665 9,4615 11,13 11,13 105,362145 105,306495 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-12 9,4645 9,4595 11,12 11,12 105,24524 105,18964 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-13 9,3915 9,3865 11,17 11,17 104,903055 104,847205 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-14 9,3675 9,3625 11,2 11,2 104,916 104,86 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-15 9,4055 9,4005 11,18 11,18 105,15349 105,09759 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-18 9,3895 9,3845 11,2 11,2 105,1624 105,1064 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-19 9,4425 9,4375 11,17 11,17 105,472725 105,416875 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-20 9,4265 9,4215 11,17 11,17 105,294005 105,238155 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-21 9,4625 9,4575 11,05 11,05 104,560625 104,505375 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-22 9,4495 9,4445 11,08 11,08 104,70046 104,64506 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-25 9,4275 9,4225 11,16 11,16 105,2109 105,1551 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-26 9,4155 9,4105 11,13 11,13 104,794515 104,738865 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-27 9,4725 9,4675 11,12 11,12 105,3342 105,2786 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-28 9,4515 9,4465 11,18 11,18 105,66777 105,61187 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-07-29 9,3885 9,3835 11,28 11,28 105,90228 105,84588 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-01 9,3985 9,3935 11,23 11,23 105,545155 105,489005 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-02 9,3995 9,3945 11,28 11,28 106,02636 105,96996 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-03 9,3755 9,3705 11,3 11,3 105,94315 105,88665 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-04 9,3735 9,3685 11,25 11,25 105,451875 105,395625 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-05 9,3355 9,3305 11,25 11,25 105,024375 104,968125 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-08 9,3335 9,3285 11,22 11,22 104,72187 104,66577 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-09 9,3455 9,3405 11,2 11,2 104,6696 104,6136 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-10 9,3535 9,3485 11,25 11,25 105,226875 105,170625 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-11 9,3365 9,3315 11,31 11,31 105,595815 105,539265 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-12 9,3025 9,2975 11,29 11,29 105,025225 104,968775 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-15 9,3065 9,3015 11,24 11,24 104,60506 104,54886 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-16 9,2995 9,2945 11,28 11,28 104,89836 104,84196 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-17 9,3405 9,3355 11,28 11,28 105,36084 105,30444 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-18 9,3365 9,3315 11,32 11,32 105,68918 105,63258 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-19 9,3395 9,3345 11,35 11,35 106,003325 105,946575 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-22 9,3655 9,3605 11,39 11,39 106,673045 106,616095 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-23 9,3715 9,3665 11,45 11,45 107,303675 107,246425 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-24 9,3365 9,3315 11,42 11,42 106,62283 106,56573 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-25 9,3335 9,3285 11,35 11,35 105,935225 105,878475 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-26 9,3415 9,3365 11,4 11,4 106,4931 106,4361 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-29 9,3295 9,3245 11,34 11,34 105,79653 105,73983 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-30 9,3285 9,3235 11,42 11,42 106,53147 106,47437 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-08-31 9,3585 9,3535 11,41 11,41 106,780485 106,723435 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-01 9,3365 9,3315 11,44 11,44 106,80956 106,75236 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-02 9,3025 9,2975 11,42 11,42 106,23455 106,17745 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-05 9,2845 9,2795 11,48 11,48 106,58606 106,52866 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-06 9,3225 9,3175 11,53 11,53 107,488425 107,430775 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-07 9,3075 9,3025 11,59 11,59 107,873925 107,815975 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-08 9,3255 9,3205 11,63 11,63 108,455565 108,397415 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-09 9,3445 9,3395 11,65 11,65 108,863425 108,805175 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-12 9,3015 9,2965 11,8 11,8 109,7577 109,6987 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-13 9,3015 9,2965 11,85 11,85 110,222775 110,163525 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-14 9,3365 9,3315 11,87 11,87 110,824255 110,764905 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-15 9,3425 9,3375 11,86 11,86 110,80205 110,74275 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-16 9,3465 9,3415 11,87 11,87 110,942955 110,883605 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-19 9,3355 9,3305 11,92 11,92 111,27916 111,21956 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-20 9,3395 9,3345 11,93 11,93 111,420235 111,360585 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-21 9,3405 9,3355 11,84 11,84 110,59152 110,53232 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-22 9,3405 9,3355 11,76 11,76 109,84428 109,78548 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-23 9,3695 9,3645 11,79 11,79 110,466405 110,407455 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-26 9,3815 9,3765 11,95 11,95 112,108925 112,049175 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-27 9,3885 9,3835 12,04 12,04 113,03754 112,97734 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-28 9,3935 9,3885 12,06 12,06 113,28561 113,22531 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-29 9,3845 9,3795 12,07 12,07 113,270915 113,210565 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-09-30 9,3435 9,3385 12,16 12,16 113,61696 113,55616 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-03 9,3025 9,2975 12,32 12,32 114,6068 114,5452 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-04 9,3185 9,3135 12,31 12,31 114,710735 114,649185 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-05 9,3105 9,3055 12,22 12,22 113,77431 113,71321 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-06 9,3015 9,2965 11,98 11,98 111,43197 111,37207 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-07 9,3385 9,3335 11,84 11,84 110,56784 110,50864 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-10 9,3465 9,3415 11,95 11,95 111,690675 111,630925 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-11 9,3395 9,3345 11,89 11,89 111,046655 110,987205 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-12 9,3375 9,3325 11,85 11,85 110,649375 110,590125 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-13 9,3815 9,3765 11,65 11,65 109,294475 109,236225 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-14 9,4135 9,4085 11,6 11,6 109,1966 109,1386 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-17 9,4575 9,4525 11,64 11,64 110,0853 110,0271 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-18 9,4625 9,4575 11,66 11,66 110,33275 110,27445 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-19 9,4605 9,4555 11,47 11,47 108,511935 108,454585 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-20 9,4935 9,4885 11,51 11,51 109,270185 109,212635 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-21 9,4915 9,4865 11,33 11,33 107,538695 107,482045 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-24 9,5455 9,5405 11,53 11,53 110,059615 110,001965 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-25 9,5465 9,5415 11,64 11,64 111,12126 111,06306 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-26 9,4975 9,4925 11,6 11,6 110,171 110,113 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-27 9,5355 9,5305 11,56 11,56 110,23038 110,17258 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-28 9,5135 9,5085 11,39 11,39 108,358765 108,301815 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-10-31 9,5495 9,5445 11,57 11,57 110,487715 110,429865 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-01 9,5495 9,5445 11,78 11,78 112,49311 112,43421 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-02 9,5855 9,5805 11,88 11,88 113,87574 113,81634 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-03 9,6515 9,6465 11,96 11,96 115,43194 115,37214 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-04 9,5875 9,5825 12,03 12,03 115,337625 115,277475 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-07 9,6075 9,6025 12,06 12,06 115,86645 115,80615 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-08 9,5685 9,5635 12,03 12,03 115,109055 115,048905 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-09 9,5575 9,5525 12,01 12,01 114,785575 114,725525 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-10 9,6105 9,6055 12,03 12,03 115,614315 115,554165 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-11 9,6365 9,6315 12,05 12,05 116,119825 116,059575 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-14 9,5505 9,5455 12,08 12,08 115,37004 115,30964 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-15 9,5805 9,5755 12,08 12,08 115,73244 115,67204 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-16 9,6235 9,6185 12 12 115,482 115,422 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-17 9,6355 9,6305 12,07 12,07 116,300485 116,240135 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-18 9,6085 9,6035 12,23 12,23 117,511955 117,450805 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-21 9,5915 9,5865 12,23 12,23 117,304045 117,242895 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-22 9,5585 9,5535 12,17 12,17 116,326945 116,266095 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-23 9,5155 9,5105 12,2 12,2 116,0891 116,0281 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-24 9,5125 9,5075 12,22 12,22 116,24275 116,18165 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-25 9,4965 9,4915 12,23 12,23 116,142195 116,081045 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-28 9,4835 9,4785 12,32 12,32 116,83672 116,77512 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-29 9,4785 9,4735 12,23 12,23 115,922055 115,860905 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-11-30 9,5295 9,5245 12,2 12,2 116,2599 116,1989 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-01 9,5165 9,5115 12,27 12,27 116,767455 116,706105 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-02 9,4905 9,4855 12,46 12,46 118,25163 118,18933 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-05 9,4065 9,4015 12,46 12,46 117,20499 117,14269 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-07 9,4255 9,4205 12,45 12,45 117,347475 117,285225 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-08 9,3965 9,3915 12,44 12,44 116,89246 116,83026 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-12 9,4315 9,4265 12,45 12,45 117,422175 117,359925 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-13 9,4295 9,4245 12,44 12,44 117,30298 117,24078 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-14 9,4365 9,4315 12,47 12,47 117,673155 117,610805 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-15 9,4345 9,4295 12,58 12,58 118,68601 118,62311 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-16 9,4765 9,4715 12,61 12,61 119,498665 119,435615 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-19 9,4535 9,4485 12,61 12,61 119,208635 119,145585 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-20 9,4015 9,3965 12,51 12,51 117,612765 117,550215 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-21 9,4485 9,4435 12,57 12,57 118,767645 118,704795 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-22 9,4365 9,4315 12,59 12,59 118,805535 118,742585 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-23 9,4425 9,4375 12,64 12,64 119,3532 119,29 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-27 9,4915 9,4865 12,7 12,7 120,54205 120,47855 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-28 9,4345 9,4295 12,68 12,68 119,62946 119,56606 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-29 9,4115 9,4065 12,69 12,69 119,431935 119,368485 360495 FIM Fondbolag Ab FIM Tekno Placeringsfond EUR 2005-12-30 9,4325 9,4275 12,64 12,64 119,2268 119,1636 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-11 9,3365 9,3315 10,63 10,63 99,246995 99,193845 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-12 9,3025 9,2975 10,58 10,58 98,42045 98,36755 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-15 9,3065 9,3015 10,52 10,52 97,90438 97,85178 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-16 9,2995 9,2945 10,55 10,55 98,109725 98,056975 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-17 9,3405 9,3355 10,51 10,51 98,168655 98,116105 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-18 9,3365 9,3315 10,45 10,45 97,566425 97,514175 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-19 9,3395 9,3345 10,46 10,46 97,69117 97,63887 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-22 9,3655 9,3605 10,54 10,54 98,71237 98,65967 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-23 9,3715 9,3665 10,55 10,55 98,869325 98,816575 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-24 9,3365 9,3315 10,47 10,47 97,753155 97,700805 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-25 9,3335 9,3285 10,44 10,44 97,44174 97,38954 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-26 9,3415 9,3365 10,38 10,38 96,96477 96,91287 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-29 9,3295 9,3245 10,16 10,16 94,78772 94,73692 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-30 9,3285 9,3235 10,25 10,25 95,617125 95,565875 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-08-31 9,3585 9,3535 10,29 10,29 96,298965 96,247515 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-01 9,3365 9,3315 10,37 10,37 96,819505 96,767655 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-02 9,3025 9,2975 10,36 10,36 96,3739 96,3221 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-05 9,2845 9,2795 10,31 10,31 95,723195 95,671645 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-06 9,3225 9,3175 10,32 10,32 96,2082 96,1566 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-07 9,3075 9,3025 10,42 10,42 96,98415 96,93205 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-08 9,3255 9,3205 10,47 10,47 97,637985 97,585635 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-09 9,3445 9,3395 10,54 10,54 98,49103 98,43833 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-12 9,3015 9,2965 10,66 10,66 99,15399 99,10069 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-13 9,3015 9,2965 10,61 10,61 98,688915 98,635865 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-14 9,3365 9,3315 10,68 10,68 99,71382 99,66042 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-15 9,3425 9,3375 10,69 10,69 99,871325 99,817875 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-16 9,3465 9,3415 10,8 10,8 100,9422 100,8882 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-19 9,3355 9,3305 10,85 10,85 101,290175 101,235925 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-20 9,3395 9,3345 10,94 10,94 102,17413 102,11943 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-21 9,3405 9,3355 10,92 10,92 101,99826 101,94366 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-22 9,3405 9,3355 11 11 102,7455 102,6905 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-23 9,3695 9,3645 10,92 10,92 102,31494 102,26034 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-26 9,3815 9,3765 11,11 11,11 104,228465 104,172915 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-27 9,3885 9,3835 11,17 11,17 104,869545 104,813695 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-28 9,3935 9,3885 11,19 11,19 105,113265 105,057315 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-29 9,3845 9,3795 11,19 11,19 105,012555 104,956605 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-09-30 9,3435 9,3385 11,14 11,14 104,08659 104,03089 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-03 9,3025 9,2975 11,23 11,23 104,467075 104,410925 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-04 9,3185 9,3135 11,36 11,36 105,85816 105,80136 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-05 9,3105 9,3055 11,35 11,35 105,674175 105,617425 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-06 9,3015 9,2965 11,09 11,09 103,153635 103,098185 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-07 9,3385 9,3335 11,04 11,04 103,09704 103,04184 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-10 9,3465 9,3415 11,24 11,24 105,05466 104,99846 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-11 9,3395 9,3345 11,41 11,41 106,563695 106,506645 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-12 9,3375 9,3325 11,3 11,3 105,51375 105,45725 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-13 9,3815 9,3765 11,18 11,18 104,88517 104,82927 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-14 9,4135 9,4085 11,08 11,08 104,30158 104,24618 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-17 9,4575 9,4525 10,91 10,91 103,181325 103,126775 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-18 9,4625 9,4575 11,02 11,02 104,27675 104,22165 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-19 9,4605 9,4555 10,73 10,73 101,511165 101,457515 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-20 9,4935 9,4885 10,74 10,74 101,96019 101,90649 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-21 9,4915 9,4865 10,88 10,88 103,26752 103,21312 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-24 9,5455 9,5405 10,95 10,95 104,523225 104,468475 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-25 9,5465 9,5415 10,9 10,9 104,05685 104,00235 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-26 9,4975 9,4925 10,92 10,92 103,7127 103,6581 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-27 9,5355 9,5305 10,8 10,8 102,9834 102,9294 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-28 9,5135 9,5085 10,69 10,69 101,699315 101,645865 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-10-31 9,5495 9,5445 10,93 10,93 104,376035 104,321385 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-01 9,5495 9,5445 11,03 11,03 105,330985 105,275835 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-02 9,5855 9,5805 11,24 11,24 107,74102 107,68482 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-03 9,6515 9,6465 11,21 11,21 108,193315 108,137265 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-04 9,5875 9,5825 11,34 11,34 108,72225 108,66555 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-07 9,6075 9,6025 11,5 11,5 110,48625 110,42875 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-08 9,5685 9,5635 11,61 11,61 111,090285 111,032235 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-09 9,5575 9,5525 11,63 11,63 111,153725 111,095575 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-10 9,6105 9,6055 11,64 11,64 111,86622 111,80802 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-11 9,6365 9,6315 11,78 11,78 113,51797 113,45907 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-14 9,5505 9,5455 11,76 11,76 112,31388 112,25508 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-15 9,5805 9,5755 11,76 11,76 112,66668 112,60788 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-16 9,6235 9,6185 11,78 11,78 113,36483 113,30593 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-17 9,6355 9,6305 11,83 11,83 113,987965 113,928815 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-18 9,6085 9,6035 11,89 11,89 114,245065 114,185615 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-21 9,5915 9,5865 11,82 11,82 113,37153 113,31243 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-22 9,5585 9,5535 11,9 11,9 113,74615 113,68665 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-23 9,5155 9,5105 12,11 12,11 115,232705 115,172155 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-24 9,5125 9,5075 12,18 12,18 115,86225 115,80135 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-25 9,4965 9,4915 12,17 12,17 115,572405 115,511555 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-28 9,4835 9,4785 12,13 12,13 115,034855 114,974205 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-29 9,4785 9,4735 12,03 12,03 114,026355 113,966205 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-11-30 9,5295 9,5245 12,13 12,13 115,592835 115,532185 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-01 9,5165 9,5115 12,12 12,12 115,33998 115,27938 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-02 9,4905 9,4855 12,14 12,14 115,21467 115,15397 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-05 9,4065 9,4015 12,21 12,21 114,853365 114,792315 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-07 9,4255 9,4205 12,13 12,13 114,331315 114,270665 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-08 9,3965 9,3915 12,12 12,12 113,88558 113,82498 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-12 9,4315 9,4265 12,12 12,12 114,30978 114,24918 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-13 9,4295 9,4245 12,17 12,17 114,757015 114,696165 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-14 9,4365 9,4315 12,11 12,11 114,276015 114,215465 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-15 9,4345 9,4295 12,13 12,13 114,440485 114,379835 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-16 9,4765 9,4715 12 12 113,718 113,658 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-19 9,4535 9,4485 12,1 12,1 114,38735 114,32685 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-20 9,4015 9,3965 12,11 12,11 113,852165 113,791615 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-21 9,4485 9,4435 12,21 12,21 115,366185 115,305135 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-22 9,4365 9,4315 12,19 12,19 115,030935 114,969985 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-23 9,4425 9,4375 12,22 12,22 115,38735 115,32625 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-27 9,4915 9,4865 12,33 12,33 117,030195 116,968545 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-28 9,4345 9,4295 12,32 12,32 116,23304 116,17144 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-29 9,4115 9,4065 12,51 12,51 117,737865 117,675315 354357 FIM Fondbolag Ab FIM Tiger Placeringsfond EUR 2005-12-30 9,4325 9,4275 12,58 12,58 118,66085 118,59795 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-03 9,0065 9,0015 21,44 21,44 193,09936 192,99216 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-04 9,0345 9,0295 21,45 21,45 193,790025 193,682775 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-05 9,0615 9,0565 21,42 21,42 194,09733 193,99023 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-07 9,0615 9,0565 21,51 21,51 194,912865 194,805315 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-10 9,08619 9,08119 21,51 21,51 195,4439469 195,3363969 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-11 9,08619 9,08119 21,46 21,46 194,9896374 194,8823374 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-12 9,0455 9,0405 21,42 21,42 193,75461 193,64751 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-13 9,0505 9,0455 21,44 21,44 194,04272 193,93552 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-14 9,0455 9,0405 21,4 21,4 193,5737 193,4667 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-17 9,0685 9,0635 21,61 21,61 195,970285 195,862235 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-18 9,0585 9,0535 21,59 21,59 195,573015 195,465065 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-19 9,0225 9,0175 21,7 21,7 195,78825 195,67975 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-20 9,0315 9,0265 21,54 21,54 194,53851 194,43081 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-21 9,0505 9,0455 21,61 21,61 195,581305 195,473255 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-24 9,0655 9,0605 21,63 21,63 196,086765 195,978615 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-25 9,0715 9,0665 21,73 21,73 197,123695 197,015045 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-26 9,0885 9,0835 21,87 21,87 198,765495 198,656145 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-27 9,0675 9,0625 21,95 21,95 199,031625 198,921875 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-28 9,0955 9,0905 21,95 21,95 199,646225 199,536475 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-01-31 9,1075 9,1025 22,07 22,07 201,002525 200,892175 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-01 9,1035 9,0985 22,25 22,25 202,552875 202,441625 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-02 9,0905 9,0855 22,37 22,37 203,354485 203,242635 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-03 9,0695 9,0645 22,46 22,46 203,70097 203,58867 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-04 9,0895 9,0845 22,52 22,52 204,69554 204,58294 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-07 9,0755 9,0705 22,73 22,73 206,286115 206,172465 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-08 9,0895 9,0845 22,7 22,7 206,33165 206,21815 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-09 9,0695 9,0645 22,74 22,74 206,24043 206,12673 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-10 9,0805 9,0755 22,67 22,67 205,854935 205,741585 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-11 9,0935 9,0885 22,68 22,68 206,24058 206,12718 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-14 9,1105 9,1055 22,83 22,83 207,992715 207,878565 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-15 9,0765 9,0715 22,95 22,95 208,305675 208,190925 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-16 9,0705 9,0655 22,88 22,88 207,53304 207,41864 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-17 9,0925 9,0875 23,02 23,02 209,30935 209,19425 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-18 9,0945 9,0895 23,08 23,08 209,90106 209,78566 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-21 9,1185 9,1135 23,05 23,05 210,181425 210,066175 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-22 9,0975 9,0925 22,83 22,83 207,695925 207,581775 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-23 9,1045 9,0995 22,79 22,79 207,491555 207,377605 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-24 9,0715 9,0665 23,01 23,01 208,735215 208,620165 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-25 9,0845 9,0795 23,2 23,2 210,7604 210,6444 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-02-28 9,0505 9,0455 23,31 23,31 210,967155 210,850605 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-01 9,0565 9,0515 23,29 23,29 210,925885 210,809435 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-02 9,0645 9,0595 23,33 23,33 211,474785 211,358135 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-03 9,0675 9,0625 23,35 23,35 211,726125 211,609375 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-04 9,0415 9,0365 23,41 23,41 211,661515 211,544465 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-07 9,0425 9,0375 23,61 23,61 213,493425 213,375375 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-08 9,0345 9,0295 23,57 23,57 212,943165 212,825315 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-09 9,0365 9,0315 23,63 23,63 213,532495 213,414345 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-10 9,0655 9,0605 23,49 23,49 212,948595 212,831145 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-11 9,0795 9,0745 23,54 23,54 213,73143 213,61373 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-14 9,0695 9,0645 23,43 23,43 212,498385 212,381235 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-15 9,1035 9,0985 23,41 23,41 213,112935 212,995885 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-16 9,0975 9,0925 23,27 23,27 211,698825 211,582475 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-17 9,1045 9,0995 22,98 22,98 209,22141 209,10651 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-18 9,1035 9,0985 23,1 23,1 210,29085 210,17535 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-21 9,1265 9,1215 23,08 23,08 210,63962 210,52422 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-22 9,1265 9,1215 23,02 23,02 210,09203 209,97693 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-23 9,1165 9,1115 22,81 22,81 207,947365 207,833315 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-24 9,1135 9,1085 22,92 22,92 208,88142 208,76682 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-29 9,1315 9,1265 22,88 22,88 208,92872 208,81432 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-30 9,1425 9,1375 22,84 22,84 208,8147 208,7005 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-03-31 9,1405 9,1355 23,02 23,02 210,41431 210,29921 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-01 9,1645 9,1595 23,24 23,24 212,98298 212,86678 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-04 9,1695 9,1645 23,14 23,14 212,18223 212,06653 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-05 9,1745 9,1695 23,26 23,26 213,39887 213,28257 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-06 9,1705 9,1655 23,46 23,46 215,13993 215,02263 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-07 9,1505 9,1455 23,63 23,63 216,226315 216,108165 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-08 9,1625 9,1575 23,86 23,86 218,61725 218,49795 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-11 9,1705 9,1655 23,82 23,82 218,44131 218,32221 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-12 9,1525 9,1475 23,84 23,84 218,1956 218,0764 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-13 9,1495 9,1445 24,08 24,08 220,31996 220,19956 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-14 9,1685 9,1635 24,02 24,02 220,22737 220,10727 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-15 9,1925 9,1875 23,6 23,6 216,943 216,825 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-18 9,1805 9,1755 22,97 22,97 210,876085 210,761235 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-19 9,2035 9,1985 23,12 23,12 212,78492 212,66932 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-20 9,1915 9,1865 23,21 23,21 213,334715 213,218665 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-21 9,1855 9,1805 23,1 23,1 212,18505 212,06955 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-22 9,1625 9,1575 23,2 23,2 212,57 212,454 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-25 9,1685 9,1635 23,13 23,13 212,067405 211,951755 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-26 9,1375 9,1325 23,05 23,05 210,619375 210,504125 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-27 9,1465 9,1415 22,68 22,68 207,44262 207,32922 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-28 9,1505 9,1455 22,49 22,49 205,794745 205,682295 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-04-29 9,1705 9,1655 22,38 22,38 205,23579 205,12389 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-02 9,1935 9,1885 22,57 22,57 207,497295 207,384445 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-03 9,2245 9,2195 22,59 22,59 208,381455 208,268505 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-04 9,1915 9,1865 22,63 22,63 208,003645 207,890495 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-06 9,1715 9,1665 22,75 22,75 208,651625 208,537875 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-09 9,1815 9,1765 22,86 22,86 209,88909 209,77479 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-10 9,1985 9,1935 22,93 22,93 210,921605 210,806955 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-11 9,2105 9,2055 22,86 22,86 210,55203 210,43773 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-12 9,2315 9,2265 22,91 22,91 211,493665 211,379115 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-13 9,2045 9,1995 23,02 23,02 211,88759 211,77249 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-16 9,2145 9,2095 23,1 23,1 212,85495 212,73945 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-17 9,2325 9,2275 23,06 23,06 212,90145 212,78615 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-18 9,2095 9,2045 23,22 23,22 213,84459 213,72849 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-19 9,1905 9,1855 23,44 23,44 215,42532 215,30812 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-20 9,1955 9,1905 23,45 23,45 215,634475 215,517225 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-23 9,1805 9,1755 23,53 23,53 216,017165 215,899515 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-24 9,1815 9,1765 23,57 23,57 216,407955 216,290105 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-25 9,1785 9,1735 23,64 23,64 216,97974 216,86154 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-26 9,1945 9,1895 23,74 23,74 218,27743 218,15873 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-27 9,1955 9,1905 23,77 23,77 218,577035 218,458185 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-30 9,1905 9,1855 23,89 23,89 219,561045 219,441595 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-05-31 9,1665 9,1615 24,06 24,06 220,54599 220,42569 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-01 9,1455 9,1405 24,14 24,14 220,77237 220,65167 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-02 9,1565 9,1515 24,31 24,31 222,594515 222,472965 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-03 9,1315 9,1265 24,33 24,33 222,169395 222,047745 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-07 9,1455 9,1405 24,65 24,65 225,436575 225,313325 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-08 9,1455 9,1405 24,76 24,76 226,44258 226,31878 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-09 9,1965 9,1915 24,79 24,79 227,981235 227,857285 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-10 9,1975 9,1925 25,01 25,01 230,029475 229,904425 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-13 9,2365 9,2315 25,26 25,26 233,31399 233,18769 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-14 9,2985 9,2935 25,33 25,33 235,531005 235,404355 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-15 9,2695 9,2645 25,36 25,36 235,07452 234,94772 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-16 9,2695 9,2645 25,28 25,28 234,33296 234,20656 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-17 9,2695 9,2645 25,32 25,32 234,70374 234,57714 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-20 9,2255 9,2205 25,31 25,31 233,497405 233,370855 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-21 9,2725 9,2675 25,43 25,43 235,799675 235,672525 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-22 9,2615 9,2565 25,49 25,49 236,075635 235,948185 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-23 9,3535 9,3485 25,48 25,48 238,32718 238,19978 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-27 9,3855 9,3805 25,23 25,23 236,796165 236,670015 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-28 9,3995 9,3945 25,38 25,38 238,55931 238,43241 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-29 9,4215 9,4165 25,53 25,53 240,530895 240,403245 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-06-30 9,4415 9,4365 25,54 25,54 241,13591 241,00821 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-01 9,4595 9,4545 25,6 25,6 242,1632 242,0352 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-04 9,4795 9,4745 25,73 25,73 243,907535 243,778885 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-05 9,4575 9,4525 25,84 25,84 244,3818 244,2526 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-06 9,4195 9,4145 26,01 26,01 245,001195 244,871145 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-07 9,3965 9,3915 25,68 25,68 241,30212 241,17372 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-08 9,4175 9,4125 26,07 26,07 245,514225 245,383875 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-11 9,4665 9,4615 26,25 26,25 248,495625 248,364375 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-12 9,4645 9,4595 26,29 26,29 248,821705 248,690255 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-13 9,3915 9,3865 26,34 26,34 247,37211 247,24041 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-14 9,3675 9,3625 26,39 26,39 247,208325 247,076375 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-15 9,4055 9,4005 26,34 26,34 247,74087 247,60917 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-18 9,3895 9,3845 26,41 26,41 247,976695 247,844645 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-19 9,4425 9,4375 26,41 26,41 249,376425 249,244375 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-20 9,4265 9,4215 26,37 26,37 248,576805 248,444955 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-21 9,4625 9,4575 26,42 26,42 249,99925 249,86715 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-22 9,4495 9,4445 26,49 26,49 250,317255 250,184805 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-25 9,4275 9,4225 26,6 26,6 250,7715 250,6385 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-26 9,4155 9,4105 26,62 26,62 250,64061 250,50751 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-27 9,4725 9,4675 26,79 26,79 253,768275 253,634325 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-28 9,4515 9,4465 26,99 26,99 255,095985 254,961035 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-07-29 9,3885 9,3835 27,01 27,01 253,583385 253,448335 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-01 9,3985 9,3935 27,12 27,12 254,88732 254,75172 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-02 9,3995 9,3945 27,22 27,22 255,85439 255,71829 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-03 9,3755 9,3705 27,27 27,27 255,669885 255,533535 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-04 9,3735 9,3685 27,3 27,3 255,89655 255,76005 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-05 9,3355 9,3305 27,24 27,24 254,29902 254,16282 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-08 9,3335 9,3285 27,39 27,39 255,644565 255,507615 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-09 9,3455 9,3405 27,36 27,36 255,69288 255,55608 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-10 9,3535 9,3485 27,41 27,41 256,379435 256,242385 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-11 9,3365 9,3315 27,26 27,26 254,51299 254,37669 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-12 9,3025 9,2975 27,2 27,2 253,028 252,892 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-15 9,3065 9,3015 27,22 27,22 253,32293 253,18683 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-16 9,2995 9,2945 27,28 27,28 253,69036 253,55396 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-17 9,3405 9,3355 27,12 27,12 253,31436 253,17876 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-18 9,3365 9,3315 27,09 27,09 252,925785 252,790335 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-19 9,3395 9,3345 27,12 27,12 253,28724 253,15164 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-22 9,3655 9,3605 27,25 27,25 255,209875 255,073625 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-23 9,3715 9,3665 27,21 27,21 254,998515 254,862465 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-24 9,3365 9,3315 27,11 27,11 253,112515 252,976965 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-25 9,3335 9,3285 26,99 26,99 251,911165 251,776215 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-26 9,3415 9,3365 27,14 27,14 253,52831 253,39261 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-29 9,3295 9,3245 26,97 26,97 251,616615 251,481765 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-30 9,3285 9,3235 27,22 27,22 253,92177 253,78567 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-08-31 9,3585 9,3535 27,38 27,38 256,23573 256,09883 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-01 9,3365 9,3315 27,63 27,63 257,967495 257,829345 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-02 9,3025 9,2975 27,7 27,7 257,67925 257,54075 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-05 9,2845 9,2795 27,8 27,8 258,1091 257,9701 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-06 9,3225 9,3175 27,87 27,87 259,818075 259,678725 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-07 9,3075 9,3025 28,05 28,05 261,075375 260,935125 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-08 9,3255 9,3205 28,06 28,06 261,67353 261,53323 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-09 9,3445 9,3395 28,13 28,13 262,860785 262,720135 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-12 9,3015 9,2965 28,35 28,35 263,697525 263,555775 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-13 9,3015 9,2965 28,18 28,18 262,11627 261,97537 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-14 9,3365 9,3315 28,13 28,13 262,635745 262,495095 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-15 9,3425 9,3375 28,39 28,39 265,233575 265,091625 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-16 9,3465 9,3415 28,49 28,49 266,281785 266,139335 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-19 9,3355 9,3305 28,68 28,68 267,74214 267,59874 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-20 9,3395 9,3345 28,85 28,85 269,444575 269,300325 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-21 9,3405 9,3355 28,76 28,76 268,63278 268,48898 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-22 9,3405 9,3355 28,65 28,65 267,605325 267,462075 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-23 9,3695 9,3645 28,75 28,75 269,373125 269,229375 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-26 9,3815 9,3765 28,9 28,9 271,12535 270,98085 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-27 9,3885 9,3835 28,95 28,95 271,797075 271,652325 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-28 9,3935 9,3885 28,92 28,92 271,66002 271,51542 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-29 9,3845 9,3795 29,05 29,05 272,619725 272,474475 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-09-30 9,3435 9,3385 29,27 29,27 273,484245 273,337895 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-03 9,3025 9,2975 29,49 29,49 274,330725 274,183275 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-04 9,3185 9,3135 29,68 29,68 276,57308 276,42468 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-05 9,3105 9,3055 29,44 29,44 274,10112 273,95392 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-06 9,3015 9,2965 28,8 28,8 267,8832 267,7392 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-07 9,3385 9,3335 28,77 28,77 268,668645 268,524795 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-10 9,3465 9,3415 28,88 28,88 269,92692 269,78252 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-11 9,3395 9,3345 28,84 28,84 269,35118 269,20698 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-12 9,3375 9,3325 28,58 28,58 266,86575 266,72285 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-13 9,3815 9,3765 27,69 27,69 259,773735 259,635285 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-14 9,4135 9,4085 27,53 27,53 259,153655 259,016005 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-17 9,4575 9,4525 27,57 27,57 260,743275 260,605425 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-18 9,4625 9,4575 27,62 27,62 261,35425 261,21615 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-19 9,4605 9,4555 26,54 26,54 251,08167 250,94897 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-20 9,4935 9,4885 26,91 26,91 255,470085 255,335535 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-21 9,4915 9,4865 26,31 26,31 249,721365 249,589815 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-24 9,5455 9,5405 26,74 26,74 255,24667 255,11297 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-25 9,5465 9,5415 26,87 26,87 256,514455 256,380105 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-26 9,4975 9,4925 26,97 26,97 256,147575 256,012725 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-27 9,5355 9,5305 26,57 26,57 253,358235 253,225385 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-28 9,5135 9,5085 26,35 26,35 250,680725 250,548975 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-10-31 9,5495 9,5445 26,9 26,9 256,88155 256,74705 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-01 9,5495 9,5445 27,15 27,15 259,268925 259,133175 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-02 9,5855 9,5805 27,41 27,41 262,738555 262,601505 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-03 9,6515 9,6465 27,54 27,54 265,80231 265,66461 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-04 9,5875 9,5825 27,73 27,73 265,861375 265,722725 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-07 9,6075 9,6025 27,85 27,85 267,568875 267,429625 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-08 9,5685 9,5635 27,91 27,91 267,056835 266,917285 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-09 9,5575 9,5525 27,94 27,94 267,03655 266,89685 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-10 9,6105 9,6055 27,98 27,98 268,90179 268,76189 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-11 9,6365 9,6315 28,03 28,03 270,111095 269,970945 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-14 9,5505 9,5455 28,07 28,07 268,082535 267,942185 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-15 9,5805 9,5755 27,96 27,96 267,87078 267,73098 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-16 9,6235 9,6185 27,82 27,82 267,72577 267,58667 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-17 9,6355 9,6305 27,99 27,99 269,697645 269,557695 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-18 9,6085 9,6035 28,27 28,27 271,632295 271,490945 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-21 9,5915 9,5865 28,38 28,38 272,20677 272,06487 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-22 9,5585 9,5535 28,49 28,49 272,321665 272,179215 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-23 9,5155 9,5105 28,64 28,64 272,52392 272,38072 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-24 9,5125 9,5075 28,69 28,69 272,913625 272,770175 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-25 9,4965 9,4915 28,83 28,83 273,784095 273,639945 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-28 9,4835 9,4785 28,93 28,93 274,357655 274,213005 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-29 9,4785 9,4735 28,78 28,78 272,79123 272,64733 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-11-30 9,5295 9,5245 28,78 28,78 274,25901 274,11511 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-01 9,5165 9,5115 28,95 28,95 275,502675 275,357925 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-02 9,4905 9,4855 29,23 29,23 277,407315 277,261165 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-05 9,4065 9,4015 29,32 29,32 275,79858 275,65198 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-07 9,4255 9,4205 29,47 29,47 277,769485 277,622135 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-08 9,3965 9,3915 29,35 29,35 275,787275 275,640525 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-12 9,4315 9,4265 29,39 29,39 277,191785 277,044835 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-13 9,4295 9,4245 29,39 29,39 277,133005 276,986055 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-14 9,4365 9,4315 29,26 29,26 276,11199 275,96569 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-15 9,4345 9,4295 29,4 29,4 277,3743 277,2273 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-16 9,4765 9,4715 29,48 29,48 279,36722 279,21982 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-19 9,4535 9,4485 29,51 29,51 278,972785 278,825235 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-20 9,4015 9,3965 29,6 29,6 278,2844 278,1364 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-21 9,4485 9,4435 29,72 29,72 280,80942 280,66082 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-22 9,4365 9,4315 29,86 29,86 281,77389 281,62459 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-23 9,4425 9,4375 29,94 29,94 282,70845 282,55875 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-27 9,4915 9,4865 30,11 30,11 285,789065 285,638515 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-28 9,4345 9,4295 30,1 30,1 283,97845 283,82795 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-29 9,4115 9,4065 30,29 30,29 285,074335 284,922885 452755 FIM Fondbolag Ab FIM Vision Placeringsfond EUR 2005-12-30 9,4325 9,4275 30,32 30,32 285,9934 285,8418 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-03 5,84 5,834 1169,98 1169,98 6832,6832 6825,66332 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-04 5,847 5,841 1169,35 1169,35 6837,18945 6830,17335 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-05 5,8385 5,8325 1170,07 1170,07 6831,453695 6824,433275 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-07 5,8555 5,8495 1171,03 1171,03 6856,966165 6849,939985 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-10 5,8755 5,8695 1171,49 1171,49 6883,089495 6876,060555 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-11 5,8755 5,8695 1171,88 1171,88 6885,38094 6878,34966 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-12 5,8405 5,8345 1171,2 1171,2 6840,3936 6833,3664 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-13 5,8485 5,8425 1171,93 1171,93 6854,032605 6847,001025 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-14 5,836 5,83 1171,85 1171,85 6838,9166 6831,8855 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-17 5,862 5,856 1172,95 1172,95 6875,8329 6868,7952 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-18 5,857 5,851 1173,62 1173,62 6873,89234 6866,85062 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-19 5,847 5,841 1173,88 1173,88 6863,67636 6856,63308 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-20 5,859 5,853 1173,69 1173,69 6876,64971 6869,60757 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-21 5,8545 5,8485 1173,03 1173,03 6867,504135 6860,465955 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-24 5,8665 5,8605 1173,86 1173,86 6886,44969 6879,40653 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-25 5,8755 5,8695 1173,9 1173,9 6897,24945 6890,20605 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-26 5,8665 5,8605 1173,78 1173,78 6885,98037 6878,93769 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-27 5,8615 5,8555 1173,05 1173,05 6875,832575 6868,794275 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-28 5,8845 5,8785 1173,77 1173,77 6907,049565 6900,006945 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-01-31 5,876 5,87 1173,72 1173,72 6896,77872 6889,7364 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-01 5,8655 5,8595 1175,21 1175,21 6893,194255 6886,142995 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-02 5,8545 5,8485 1176,12 1176,12 6885,59454 6878,53782 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-03 5,828 5,822 1174,96 1174,96 6847,66688 6840,61712 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-04 5,8325 5,8265 1176,74 1176,74 6863,33605 6856,27561 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-07 5,828 5,822 1177,47 1177,47 6862,29516 6855,23034 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-08 5,823 5,817 1178,33 1178,33 6861,41559 6854,34561 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-09 5,825 5,819 1179,49 1179,49 6870,52925 6863,45231 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-10 5,8345 5,8285 1179,54 1179,54 6882,02613 6874,94889 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-11 5,848 5,842 1179,02 1179,02 6894,90896 6887,83484 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-14 5,8635 5,8575 1178,31 1178,31 6909,020685 6901,950825 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-15 5,8485 5,8425 1176,94 1176,94 6883,33359 6876,27195 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-16 5,864 5,858 1176,64 1176,64 6899,81696 6892,75712 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-17 5,8805 5,8745 1173,94 1173,94 6903,35417 6896,31053 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-18 5,884 5,878 1172,96 1172,96 6901,69664 6894,65888 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-21 5,907 5,901 1173,38 1173,38 6931,15566 6924,11538 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-22 5,9045 5,8985 1173,25 1173,25 6927,454625 6920,415125 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-23 5,9245 5,9185 1172,9 1172,9 6948,84605 6941,80865 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-24 5,8995 5,8935 1172,33 1172,33 6916,160835 6909,126855 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-25 5,8895 5,8835 1170,46 1170,46 6893,42417 6886,40141 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-02-28 5,8825 5,8765 1170,9 1170,9 6887,81925 6880,79385 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-01 5,8955 5,8895 1169,92 1169,92 6897,26336 6890,24384 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-02 5,9 5,894 1169,96 1169,96 6902,764 6895,74424 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-03 5,8745 5,8685 1172,03 1172,03 6885,090235 6878,058055 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-04 5,8395 5,8335 1173,22 1173,22 6851,01819 6843,97887 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-07 5,8425 5,8365 1174,2 1174,2 6860,2635 6853,2183 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-08 5,821 5,815 1174,2 1174,2 6835,0182 6827,973 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-09 5,8295 5,8235 1172,77 1172,77 6836,662715 6829,626095 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-10 5,8525 5,8465 1170,74 1170,74 6851,75585 6844,73141 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-11 5,863 5,857 1171,51 1171,51 6868,56313 6861,53407 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-14 5,8525 5,8465 1171,18 1171,18 6854,33095 6847,30387 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-15 5,8725 5,8665 1172,38 1172,38 6884,80155 6877,76727 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-16 5,872 5,866 1171,93 1171,93 6881,57296 6874,54138 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-17 5,8875 5,8815 1172,15 1172,15 6901,033125 6894,000225 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-18 5,884 5,878 1172,22 1172,22 6897,34248 6890,30916 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-21 5,8845 5,8785 1171,81 1171,81 6895,515945 6888,485085 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-22 5,8835 5,8775 1171,56 1171,56 6892,87326 6885,8439 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-23 5,866 5,86 1170,64 1170,64 6866,97424 6859,9504 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-24 5,8705 5,8645 1170,76 1170,76 6872,94658 6865,92202 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-29 5,8865 5,8805 1170,98 1170,98 6892,97377 6885,94789 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-30 5,89 5,884 1173,43 1173,43 6911,5027 6904,46212 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-03-31 5,9005 5,8945 1174,37 1174,37 6929,370185 6922,323965 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-01 5,907 5,901 1175,01 1175,01 6940,78407 6933,73401 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-04 5,908 5,902 1174,38 1174,38 6938,23704 6931,19076 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-05 5,903 5,897 1174,4 1174,4 6932,4832 6925,4368 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-06 5,9165 5,9105 1175,26 1175,26 6953,42579 6946,37423 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-07 5,9045 5,8985 1175,78 1175,78 6942,39301 6935,33833 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-08 5,9055 5,8995 1175,48 1175,48 6941,79714 6934,74426 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-11 5,921 5,915 1176,64 1176,64 6966,88544 6959,8256 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-12 5,9115 5,9055 1177,98 1177,98 6963,62877 6956,56089 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-13 5,912 5,906 1178,99 1178,99 6970,18888 6963,11494 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-14 5,91 5,904 1178,47 1178,47 6964,7577 6957,68688 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-15 5,9175 5,9115 1180,13 1180,13 6983,419275 6976,338495 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-18 5,9335 5,9275 1181,72 1181,72 7011,73562 7004,6453 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-19 5,954 5,948 1182,05 1182,05 7037,9257 7030,8334 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-20 5,9545 5,9485 1182,22 1182,22 7039,52899 7032,43567 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-21 5,9585 5,9525 1181,95 1181,95 7042,649075 7035,557375 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-22 5,9355 5,9295 1181,65 1181,65 7013,683575 7006,593675 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-25 5,9415 5,9355 1182,82 1182,82 7027,72503 7020,62811 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-26 5,922 5,916 1181,92 1181,92 6999,33024 6992,23872 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-27 5,9275 5,9215 1182,14 1182,14 7007,13485 7000,04201 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-28 5,9365 5,9305 1182,73 1182,73 7021,276645 7014,180265 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-04-29 5,967 5,961 1181,65 1181,65 7050,90555 7043,81565 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-02 5,9745 5,9685 1181,85 1181,85 7060,962825 7053,871725 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-03 5,9855 5,9795 1182,21 1182,21 7076,117955 7069,024695 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-04 5,9595 5,9535 1181,63 1181,63 7041,923985 7034,834205 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-06 5,9265 5,9205 1181,47 1181,47 7001,981955 6994,893135 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-09 5,936 5,93 1180,85 1180,85 7009,5256 7002,4405 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-10 5,948 5,942 1181,39 1181,39 7026,90772 7019,81938 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-11 5,9655 5,9595 1182,33 1182,33 7053,189615 7046,095635 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-12 5,975 5,969 1181,92 1181,92 7061,972 7054,88048 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-13 5,963 5,957 1182,09 1182,09 7048,80267 7041,71013 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-17 5,9795 5,9735 1182,16 1182,16 7068,72572 7061,63276 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-18 5,9705 5,9645 1182,34 1182,34 7059,16097 7052,06693 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-19 5,9545 5,9485 1182,57 1182,57 7041,613065 7034,517645 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-20 5,95 5,944 1182,19 1182,19 7034,0305 7026,93736 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-23 5,9335 5,9275 1181,76 1181,76 7011,97296 7004,8824 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-24 5,9355 5,9295 1183,15 1183,15 7022,586825 7015,487925 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-25 5,9365 5,9305 1183,81 1183,81 7027,688065 7020,585205 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-26 5,9505 5,9445 1182,98 1182,98 7039,32249 7032,22461 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-27 5,9435 5,9375 1183,56 1183,56 7034,48886 7027,3875 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-30 5,948 5,942 1183,5 1183,5 7039,458 7032,357 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-05-31 5,9405 5,9345 1184,26 1184,26 7035,09653 7027,99097 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-01 5,9545 5,9485 1185,22 1185,22 7057,39249 7050,28117 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-02 5,9725 5,9665 1185,07 1185,07 7077,830575 7070,720155 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-03 5,952 5,946 1185,45 1185,45 7055,7984 7048,6857 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-07 5,9765 5,9705 1186,08 1186,08 7088,60712 7081,49064 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-08 5,972 5,966 1187,4 1187,4 7091,1528 7084,0284 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-09 6 5,994 1187,32 1187,32 7123,92 7116,79608 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-10 6,0005 5,9945 1187,16 1187,16 7123,55358 7116,43062 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-13 6,0095 6,0035 1187,21 1187,21 7134,538495 7127,415235 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-14 6,0395 6,0335 1187,1 1187,1 7169,49045 7162,36785 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-15 6,0305 6,0245 1185,08 1185,08 7146,62494 7139,51446 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-16 6,0275 6,0215 1184,1 1184,1 7137,16275 7130,05815 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-17 6,018 6,012 1184,98 1184,98 7131,20964 7124,09976 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-20 5,9755 5,9695 1184,65 1184,65 7078,876075 7071,768175 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-21 6,0145 6,0085 1186,29 1186,29 7134,941205 7127,823465 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-22 6,0125 6,0065 1187,61 1187,61 7140,505125 7133,379465 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-27 6,088 6,082 1185,99 1185,99 7220,30712 7213,19118 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-28 6,088 6,082 1184,71 1184,71 7212,51448 7205,40622 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-29 6,1025 6,0965 1184,71 1184,71 7229,692775 7222,584515 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-06-30 6,0985 6,0925 1185,75 1185,75 7231,296375 7224,181875 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-01 6,088 6,082 1186,4 1186,4 7222,8032 7215,6848 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-04 6,1215 6,1155 1185,85 1185,85 7259,180775 7252,065675 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-05 6,1015 6,0955 1186,15 1186,15 7237,294225 7230,177325 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-06 6,065 6,059 1187,01 1187,01 7199,21565 7192,09359 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-07 6,0495 6,0435 1187,89 1187,89 7186,140555 7179,013215 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-08 6,0695 6,0635 1187,23 1187,23 7205,892485 7198,769105 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-11 6,0875 6,0815 1184,57 1184,57 7211,069875 7203,962455 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-12 6,0845 6,0785 1183,96 1183,96 7203,80462 7196,70086 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-13 6,0295 6,0235 1184,03 1184,03 7139,108885 7132,004705 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-14 6,018 6,012 1183,53 1183,53 7122,48354 7115,38236 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-15 6,0335 6,0275 1183,49 1183,49 7140,586915 7133,485975 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-18 6,0195 6,0135 1184,29 1184,29 7128,833655 7121,727915 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-19 6,041 6,035 1183,3 1183,3 7148,3153 7141,2155 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-20 6,0265 6,0205 1184,39 1184,39 7137,726335 7130,619995 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-21 6,0565 6,0505 1186,12 1186,12 7183,73578 7176,61906 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-22 6,0435 6,0375 1187,62 1187,62 7177,38147 7170,25575 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-25 6,034 6,028 1188,55 1188,55 7171,7107 7164,5794 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-26 6,033 6,027 1187,18 1187,18 7162,25694 7155,13386 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-27 6,0625 6,0565 1187,71 1187,71 7200,491875 7193,365615 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-28 6,043 6,037 1187,29 1187,29 7174,79347 7167,66973 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-07-29 6,0195 6,0135 1186,29 1186,29 7140,872655 7133,754915 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-01 6,0205 6,0145 1187,51 1187,51 7149,403955 7142,278895 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-02 6,0355 6,0295 1183,01 1183,01 7140,056855 7132,958795 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-03 6,0235 6,0175 1182,74 1182,74 7124,23439 7117,13795 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-04 6,0225 6,0165 1183,31 1183,31 7126,484475 7119,384615 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-05 5,9925 5,9865 1182,66 1182,66 7087,09005 7079,99409 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-08 5,9815 5,9755 1182,49 1182,49 7073,063935 7065,968995 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-09 6,0055 5,9995 1181,1 1181,1 7093,09605 7086,00945 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-10 6,009 6,003 1181,48 1181,48 7099,51332 7092,42444 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-11 6,007 6,001 1180,42 1180,42 7090,78294 7083,70042 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-12 5,991 5,985 1182,26 1182,26 7082,91966 7075,8261 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-16 5,9945 5,9885 1183,55 1183,55 7094,790475 7087,689175 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-17 6,026 6,02 1184,39 1184,39 7137,13414 7130,0278 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-18 6,04 6,034 1184,83 1184,83 7156,3732 7149,26422 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-19 6,0375 6,0315 1185,58 1185,58 7157,93925 7150,82577 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-22 6,0385 6,0325 1185,95 1185,95 7161,359075 7154,243375 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-23 6,0305 6,0245 1185,53 1185,53 7149,338665 7142,225485 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-24 6,0035 5,9975 1185,5 1185,5 7117,14925 7110,03625 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-25 6,025 6,019 1185,5 1185,5 7142,6375 7135,5245 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-26 6,044 6,038 1185,57 1185,57 7165,58508 7158,47166 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-29 6,0375 6,0315 1186,22 1186,22 7161,80325 7154,68593 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-30 6,021 6,015 1185,67 1185,67 7138,91907 7131,80505 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-08-31 6,041 6,035 1186,32 1186,32 7166,55912 7159,4412 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-01 6,036 6,03 1187,85 1187,85 7169,8626 7162,7355 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-02 6,036 6,03 1188,45 1188,45 7173,4842 7166,3535 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-05 6,024 6,018 1188,95 1188,95 7162,2348 7155,1011 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-06 6,042 6,036 1188,64 1188,64 7181,76288 7174,63104 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-07 6,0325 6,0265 1188,88 1188,88 7171,9186 7164,78532 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-08 6,048 6,042 1188,77 1188,77 7189,68096 7182,54834 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-09 6,0625 6,0565 1187,8 1187,8 7201,0375 7193,9107 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-12 6,024 6,018 1186,83 1186,83 7149,46392 7142,34294 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-13 6,02 6,014 1187,71 1187,71 7150,0142 7142,88794 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-14 6,0365 6,0305 1187,76 1187,76 7169,91324 7162,78668 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-15 6,0485 6,0425 1187,79 1187,79 7184,347815 7177,221075 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-16 6,028 6,022 1186,92 1186,92 7154,75376 7147,63224 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-19 6,024 6,018 1188,16 1188,16 7157,47584 7150,34688 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-20 6,0185 6,0125 1189,4 1189,4 7158,4039 7151,2675 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-21 6,022 6,016 1190,15 1190,15 7167,0833 7159,9424 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-22 6,018 6,012 1190,84 1190,84 7166,47512 7159,33008 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-23 6,03 6,024 1188,39 1188,39 7165,9917 7158,86136 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-26 6,028 6,022 1185,75 1185,75 7147,701 7140,5865 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-27 6,032 6,026 1185,46 1185,46 7150,69472 7143,58196 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-28 6,0405 6,0345 1184,93 1184,93 7157,569665 7150,460085 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-29 6,028 6,022 1183,77 1183,77 7135,76556 7128,66294 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-09-30 6,0005 5,9945 1184,57 1184,57 7108,012285 7100,904865 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-03 5,9875 5,9815 1183,67 1183,67 7087,224125 7080,122105 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-04 6,0075 6,0015 1183,72 1183,72 7111,1979 7104,09558 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-05 6,004 5,998 1184,52 1184,52 7111,85808 7104,75096 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-06 6,015 6,009 1183,89 1183,89 7121,09835 7113,99501 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-07 6,0285 6,0225 1182,8 1182,8 7130,5098 7123,413 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-10 6,0325 6,0265 1183,02 1183,02 7136,56815 7129,47003 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-11 6,0365 6,0305 1182,75 1182,75 7139,670375 7132,573875 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-12 6,0345 6,0285 1182,91 1182,91 7138,270395 7131,172935 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-13 6,062 6,056 1182,3 1182,3 7167,1026 7160,0088 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-14 6,075 6,069 1182,19 1182,19 7181,80425 7174,71111 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-17 6,1005 6,0945 1182,05 1182,05 7211,096025 7204,003725 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-18 6,088 6,082 1182,59 1182,59 7199,60792 7192,51238 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-19 6,0955 6,0895 1183,25 1183,25 7212,500375 7205,400875 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-20 6,1155 6,1095 1183,22 1183,22 7235,98191 7228,88259 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-21 6,1385 6,1325 1182,58 1182,58 7259,26733 7252,17185 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-24 6,185 6,179 1181,74 1181,74 7309,0619 7301,97146 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-25 6,1845 6,1785 1178,69 1178,69 7289,608305 7282,536165 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-26 6,1495 6,1435 1176,12 1176,12 7232,54994 7225,49322 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-27 6,162 6,156 1175,91 1175,91 7245,95742 7238,90196 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-28 6,1555 6,1495 1173,93 1173,93 7226,126115 7219,082535 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-10-31 6,1805 6,1745 1172,04 1172,04 7243,79322 7236,76098 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-02 6,1995 6,1935 1169,51 1169,51 7250,377245 7243,360185 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-03 6,2555 6,2495 1169,72 1169,72 7317,18346 7310,16514 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-04 6,213 6,207 1166,76 1166,76 7249,07988 7242,07932 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-07 6,2235 6,2175 1166,96 1166,96 7262,57556 7255,5738 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-08 6,2045 6,1985 1167,2 1167,2 7241,8924 7234,8892 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-09 6,1965 6,1905 1165,42 1165,42 7221,52503 7214,53251 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-10 6,237 6,231 1166,53 1166,53 7275,64761 7268,64843 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-11 6,2725 6,2665 1166,75 1166,75 7318,439375 7311,438875 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-14 6,207 6,201 1167,49 1167,49 7246,61043 7239,60549 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-15 6,2165 6,2105 1167,18 1167,18 7255,77447 7248,77139 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-16 6,2315 6,2255 1169,33 1169,33 7286,679895 7279,663915 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-17 6,231 6,225 1169,21 1169,21 7285,34751 7278,33225 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-18 6,206 6,2 1167,29 1167,29 7244,20174 7237,198 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-21 6,1925 6,1865 1167,55 1167,55 7230,053375 7223,048075 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-22 6,1795 6,1735 1167,53 1167,53 7214,751635 7207,746455 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-23 6,143 6,137 1168,32 1168,32 7176,98976 7169,97984 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-24 6,1375 6,1315 1169,8 1169,8 7179,6475 7172,6287 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-25 6,1255 6,1195 1169,3 1169,3 7162,54715 7155,53135 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-28 6,133 6,127 1168,92 1168,92 7168,98636 7161,97284 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-29 6,1265 6,1205 1169,97 1169,97 7167,821205 7160,801385 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-11-30 6,1535 6,1475 1170,49 1170,49 7202,610215 7195,587275 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-01 6,1535 6,1475 1169,88 1169,88 7198,85658 7191,8373 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-02 6,1445 6,1385 1169,28 1169,28 7184,64096 7177,62528 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-05 6,0915 6,0855 1167,58 1167,58 7112,31357 7105,30809 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-06 6,1145 6,1085 1169,13 1169,13 7148,645385 7141,630605 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-07 6,119 6,113 1169,72 1169,72 7157,51668 7150,49836 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-08 6,108 6,102 1170,63 1170,63 7150,20804 7143,18426 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-12 6,132 6,126 1170,37 1170,37 7176,70884 7169,68662 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-13 6,1175 6,1115 1169,55 1169,55 7154,722125 7147,704825 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-14 6,113 6,107 1166,57 1166,57 7131,24241 7124,24299 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-15 6,1225 6,1165 1168,3 1168,3 7152,91675 7145,90695 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-16 6,1425 6,1365 1169,74 1169,74 7185,12795 7178,10951 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-19 6,0955 6,0895 1169,97 1169,97 7131,552135 7124,532315 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-20 6,0575 6,0515 1170,49 1170,49 7090,243175 7083,220235 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-21 6,088 6,082 1170,82 1170,82 7127,95216 7120,92724 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-22 6,0705 6,0645 1171,68 1171,68 7112,68344 7105,65336 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-23 6,0645 6,0585 1171,13 1171,13 7102,317885 7095,291105 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-27 6,0995 6,0935 1172,57 1172,57 7152,090715 7145,055295 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-28 6,0585 6,0525 1174,59 1174,59 7116,253515 7109,205975 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-29 6,0405 6,0345 1173,96 1173,96 7091,30538 7084,26162 979930 Finter Fund Management Company S.A Finter Fund CHF Bonds CHF 2005-12-30 6,061 6,055 1174,65 1174,65 7119,55365 7112,50575 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-03 9,0065 9,0015 95,55 95,55 860,571075 860,093325 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-04 9,0345 9,0295 95,69 95,69 864,511305 864,032855 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-05 9,0615 9,0565 95,14 95,14 862,11111 861,63541 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-07 9,0615 9,0565 96,05 96,05 870,357075 869,876825 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-10 9,08619 9,08119 96,24 96,24 874,4549256 873,9737256 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-11 9,08619 9,08119 95,93 95,93 871,6382067 871,1585567 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-12 9,0455 9,0405 95,63 95,63 865,021165 864,543015 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-13 9,0505 9,0455 96,12 96,12 869,93406 869,45346 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-14 9,0455 9,0405 96,82 96,82 875,78531 875,30121 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-17 9,0685 9,0635 97,15 97,15 881,004775 880,519025 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-18 9,0585 9,0535 97,58 97,58 883,92843 883,44053 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-19 9,0225 9,0175 97,46 97,46 879,33285 878,84555 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-20 9,0315 9,0265 97,18 97,18 877,68117 877,19527 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-21 9,0505 9,0455 97,07 97,07 878,532035 878,046685 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-24 9,0655 9,0605 96,9 96,9 878,44695 877,96245 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-25 9,0715 9,0665 97,38 97,38 883,38267 882,89577 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-26 9,0885 9,0835 97,49 97,49 886,037865 885,550415 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-27 9,0675 9,0625 97,75 97,75 886,348125 885,859375 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-28 9,0955 9,0905 97,81 97,81 889,630855 889,141805 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-01-31 9,1075 9,1025 98,24 98,24 894,7208 894,2296 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-01 9,1035 9,0985 98,78 98,78 899,24373 898,74983 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-02 9,0905 9,0855 99,02 99,02 900,14131 899,64621 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-03 9,0695 9,0645 99,39 99,39 901,417605 900,920655 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-04 9,0895 9,0845 99,98 99,98 908,76821 908,26831 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-07 9,0755 9,0705 100,56 100,56 912,63228 912,12948 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-08 9,0895 9,0845 100,77 100,77 915,948915 915,445065 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-09 9,0695 9,0645 100,59 100,59 912,301005 911,798055 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-10 9,0805 9,0755 100,52 100,52 912,77186 912,26926 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-11 9,0935 9,0885 100,66 100,66 915,35171 914,84841 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-14 9,1105 9,1055 100,7 100,7 917,42735 916,92385 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-15 9,0765 9,0715 100,88 100,88 915,63732 915,13292 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-16 9,0705 9,0655 100,96 100,96 915,75768 915,25288 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-17 9,0925 9,0875 100,75 100,75 916,069375 915,565625 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-18 9,0945 9,0895 100,8 100,8 916,7256 916,2216 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-21 9,1185 9,1135 100,56 100,56 916,95636 916,45356 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-22 9,0975 9,0925 99,71 99,71 907,111725 906,613175 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-23 9,1045 9,0995 99,87 99,87 909,266415 908,767065 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-24 9,0715 9,0665 100,37 100,37 910,506455 910,004605 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-25 9,0845 9,0795 101,28 101,28 920,07816 919,57176 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-02-28 9,0505 9,0455 101,1 101,1 915,00555 914,50005 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-01 9,0565 9,0515 101,57 101,57 919,868705 919,360855 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-02 9,0645 9,0595 101,63 101,63 921,225135 920,716985 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-03 9,0675 9,0625 101,7 101,7 922,16475 921,65625 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-04 9,0415 9,0365 102,2 102,2 924,0413 923,5303 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-07 9,0425 9,0375 102,34 102,34 925,40945 924,89775 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-08 9,0345 9,0295 102,34 102,34 924,59073 924,07903 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-09 9,0365 9,0315 101,21 101,21 914,584165 914,078115 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-10 9,0655 9,0605 100,52 100,52 911,26406 910,76146 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-11 9,0795 9,0745 100,59 100,59 913,306905 912,803955 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-14 9,0695 9,0645 100,56 100,56 912,02892 911,52612 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-15 9,1035 9,0985 100,72 100,72 916,90452 916,40092 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-16 9,0975 9,0925 99,83 99,83 908,203425 907,704275 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-17 9,1045 9,0995 99,92 99,92 909,72164 909,22204 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-18 9,1035 9,0985 100,11 100,11 911,351385 910,850835 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-21 9,1265 9,1215 100,29 100,29 915,296685 914,795235 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-22 9,1265 9,1215 100,28 100,28 915,20542 914,70402 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-23 9,1165 9,1115 100,11 100,11 912,652815 912,152265 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-24 9,1135 9,1085 100,43 100,43 915,268805 914,766655 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-29 9,1315 9,1265 99,97 99,97 912,876055 912,376205 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-30 9,1425 9,1375 99,84 99,84 912,7872 912,288 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-03-31 9,1405 9,1355 100,27 100,27 916,517935 916,016585 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-01 9,1645 9,1595 100,78 100,78 923,59831 923,09441 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-04 9,1695 9,1645 100,96 100,96 925,75272 925,24792 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-05 9,1745 9,1695 101,05 101,05 927,083225 926,577975 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-06 9,1705 9,1655 101,28 101,28 928,78824 928,28184 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-07 9,1505 9,1455 101,17 101,17 925,756085 925,250235 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-08 9,1625 9,1575 101,14 101,14 926,69525 926,18955 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-11 9,1705 9,1655 100,85 100,85 924,844925 924,340675 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-12 9,1525 9,1475 100,97 100,97 924,127925 923,623075 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-13 9,1495 9,1445 100,9 100,9 923,18455 922,68005 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-14 9,1685 9,1635 100,38 100,38 920,33403 919,83213 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-15 9,1925 9,1875 98,99 98,99 909,965575 909,470625 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-18 9,1805 9,1755 97,96 97,96 899,32178 898,83198 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-19 9,2035 9,1985 98,5 98,5 906,54475 906,05225 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-20 9,1915 9,1865 98,27 98,27 903,248705 902,757355 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-21 9,1855 9,1805 98,17 98,17 901,740535 901,249685 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-22 9,1625 9,1575 98,47 98,47 902,231375 901,739025 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-25 9,1685 9,1635 99,23 99,23 909,790255 909,294105 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-26 9,1375 9,1325 99,05 99,05 905,069375 904,574125 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-27 9,1465 9,1415 98,59 98,59 901,753435 901,260485 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-28 9,1505 9,1455 98,19 98,19 898,487595 897,996645 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-04-29 9,1705 9,1655 98,43 98,43 902,652315 902,160165 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-02 9,1935 9,1885 98,91 98,91 909,329085 908,834535 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-03 9,2245 9,2195 98,86 98,86 911,93407 911,43977 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-04 9,1915 9,1865 99,03 99,03 910,234245 909,739095 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-06 9,1715 9,1665 99,76 99,76 914,94884 914,45004 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-09 9,1815 9,1765 99,89 99,89 917,140035 916,640585 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-10 9,1985 9,1935 99,22 99,22 912,67517 912,17907 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-11 9,2105 9,2055 99,38 99,38 915,33949 914,84259 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-12 9,2315 9,2265 99,15 99,15 915,303225 914,807475 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-13 9,2045 9,1995 99,11 99,11 912,257995 911,762445 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-17 9,2325 9,2275 99,33 99,33 917,064225 916,567575 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-18 9,2095 9,2045 99,85 99,85 919,568575 919,069325 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-19 9,1905 9,1855 100,3 100,3 921,80715 921,30565 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-20 9,1955 9,1905 100,39 100,39 923,136245 922,634295 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-23 9,1805 9,1755 100,69 100,69 924,384545 923,881095 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-24 9,1815 9,1765 100,73 100,73 924,852495 924,348845 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-25 9,1785 9,1735 100,6 100,6 923,3571 922,8541 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-26 9,1945 9,1895 101,29 101,29 931,310905 930,804455 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-27 9,1955 9,1905 101,39 101,39 932,331745 931,824795 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-30 9,1905 9,1855 101,86 101,86 936,14433 935,63503 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-05-31 9,1665 9,1615 102,38 102,38 938,46627 937,95437 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-01 9,1455 9,1405 103,08 103,08 942,71814 942,20274 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-02 9,1565 9,1515 103,09 103,09 943,943585 943,428135 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-03 9,1315 9,1265 103,15 103,15 941,914225 941,398475 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-07 9,1455 9,1405 103,38 103,38 945,46179 944,94489 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-08 9,1455 9,1405 103,35 103,35 945,187425 944,670675 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-09 9,1965 9,1915 103,85 103,85 955,056525 954,537275 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-10 9,1975 9,1925 104,15 104,15 957,919625 957,398875 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-13 9,2365 9,2315 104,44 104,44 964,66006 964,13786 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-14 9,2985 9,2935 104,56 104,56 972,25116 971,72836 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-15 9,2695 9,2645 104,54 104,54 969,03353 968,51083 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-16 9,2695 9,2645 104,98 104,98 973,11211 972,58721 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-17 9,2695 9,2645 104,93 104,93 972,648635 972,123985 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-20 9,2255 9,2205 105,04 105,04 969,04652 968,52132 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-21 9,2725 9,2675 105,11 105,11 974,632475 974,106925 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-22 9,2615 9,2565 105,12 105,12 973,56888 973,04328 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-27 9,3855 9,3805 104,63 104,63 982,004865 981,481715 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-28 9,3995 9,3945 104,93 104,93 986,289535 985,764885 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-29 9,4215 9,4165 105,08 105,08 990,01122 989,48582 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-06-30 9,4415 9,4365 104,97 104,97 991,074255 990,549405 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-01 9,4595 9,4545 105,57 105,57 998,639415 998,111565 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-04 9,4795 9,4745 105,8 105,8 1002,9311 1002,4021 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-05 9,4575 9,4525 105,76 105,76 1000,2252 999,6964 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-06 9,4195 9,4145 105,8 105,8 996,5831 996,0541 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-07 9,3965 9,3915 105,42 105,42 990,57903 990,05193 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-08 9,4175 9,4125 105,76 105,76 995,9948 995,466 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-11 9,4665 9,4615 105,94 105,94 1002,88101 1002,35131 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-12 9,4645 9,4595 105,63 105,63 999,735135 999,206985 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-13 9,3915 9,3865 105,98 105,98 995,31117 994,78127 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-14 9,3675 9,3625 105,8 105,8 991,0815 990,5525 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-15 9,4055 9,4005 106,04 106,04 997,35922 996,82902 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-18 9,3895 9,3845 105,93 105,93 994,629735 994,100085 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-19 9,4425 9,4375 106,45 106,45 1005,154125 1004,621875 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-20 9,4265 9,4215 106,43 106,43 1003,262395 1002,730245 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-21 9,4625 9,4575 106,21 106,21 1005,012125 1004,481075 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-22 9,4495 9,4445 106,56 106,56 1006,93872 1006,40592 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-25 9,4275 9,4225 106,81 106,81 1006,951275 1006,417225 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-26 9,4155 9,4105 106,84 106,84 1005,95202 1005,41782 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-27 9,4725 9,4675 107,19 107,19 1015,357275 1014,821325 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-28 9,4515 9,4465 107,44 107,44 1015,46916 1014,93196 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-07-29 9,3885 9,3835 107,2 107,2 1006,4472 1005,9112 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-01 9,3985 9,3935 107,23 107,23 1007,801155 1007,265005 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-02 9,3995 9,3945 107,58 107,58 1011,19821 1010,66031 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-03 9,3755 9,3705 107,39 107,39 1006,834945 1006,297995 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-04 9,3735 9,3685 107,08 107,08 1003,71438 1003,17898 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-05 9,3355 9,3305 106,49 106,49 994,137395 993,604945 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-08 9,3335 9,3285 106,55 106,55 994,484425 993,951675 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-09 9,3455 9,3405 107,01 107,01 1000,061955 999,526905 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-10 9,3535 9,3485 107,63 107,63 1006,717205 1006,179055 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-11 9,3365 9,3315 107,6 107,6 1004,6074 1004,0694 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-12 9,3025 9,2975 107,65 107,65 1001,414125 1000,875875 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-16 9,2995 9,2945 107,81 107,81 1002,579095 1002,040045 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-17 9,3405 9,3355 107,67 107,67 1005,691635 1005,153285 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-18 9,3365 9,3315 107,71 107,71 1005,634415 1005,095865 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-19 9,3395 9,3345 107,92 107,92 1007,91884 1007,37924 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-22 9,3655 9,3605 108,1 108,1 1012,41055 1011,87005 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-23 9,3715 9,3665 108,08 108,08 1012,87172 1012,33132 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-24 9,3365 9,3315 107,85 107,85 1006,941525 1006,402275 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-25 9,3335 9,3285 107,54 107,54 1003,72459 1003,18689 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-26 9,3415 9,3365 107,15 107,15 1000,941725 1000,405975 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-29 9,3295 9,3245 107,17 107,17 999,842515 999,306665 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-30 9,3285 9,3235 107,33 107,33 1001,227905 1000,691255 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-08-31 9,3585 9,3535 107,72 107,72 1008,09762 1007,55902 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-01 9,3365 9,3315 107,72 107,72 1005,72778 1005,18918 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-02 9,3025 9,2975 107,49 107,49 999,925725 999,388275 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-05 9,2845 9,2795 107,93 107,93 1002,076085 1001,536435 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-06 9,3225 9,3175 108,37 108,37 1010,279325 1009,737475 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-07 9,3075 9,3025 108,71 108,71 1011,818325 1011,274775 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-08 9,3255 9,3205 108,74 108,74 1014,05487 1013,51117 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-09 9,3445 9,3395 109,21 109,21 1020,512845 1019,966795 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-12 9,3015 9,2965 109,67 109,67 1020,095505 1019,547155 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-13 9,3015 9,2965 109,25 109,25 1016,188875 1015,642625 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-14 9,3365 9,3315 109,2 109,2 1019,5458 1018,9998 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-15 9,3425 9,3375 109,73 109,73 1025,152525 1024,603875 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-16 9,3465 9,3415 109,96 109,96 1027,74114 1027,19134 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-19 9,3355 9,3305 110,28 110,28 1029,51894 1028,96754 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-20 9,3395 9,3345 110,28 110,28 1029,96006 1029,40866 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-21 9,3405 9,3355 109,88 109,88 1026,33414 1025,78474 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-22 9,3405 9,3355 110,02 110,02 1027,64181 1027,09171 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-23 9,3695 9,3645 110,22 110,22 1032,70629 1032,15519 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-26 9,3815 9,3765 110,86 110,86 1040,03309 1039,47879 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-27 9,3885 9,3835 110,91 110,91 1041,278535 1040,723985 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-28 9,3935 9,3885 111,43 111,43 1046,717705 1046,160555 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-29 9,3845 9,3795 111,84 111,84 1049,56248 1049,00328 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-09-30 9,3435 9,3385 111,71 111,71 1043,762385 1043,203835 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-03 9,3025 9,2975 112,27 112,27 1044,391675 1043,830325 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-04 9,3185 9,3135 112,13 112,13 1044,883405 1044,322755 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-05 9,3105 9,3055 111,31 111,31 1036,351755 1035,795205 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-06 9,3015 9,2965 109,46 109,46 1018,14219 1017,59489 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-07 9,3385 9,3335 109,34 109,34 1021,07159 1020,52489 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-10 9,3465 9,3415 109,46 109,46 1023,06789 1022,52059 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-11 9,3395 9,3345 110,02 110,02 1027,53179 1026,98169 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-12 9,3375 9,3325 109,37 109,37 1021,242375 1020,695525 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-13 9,3815 9,3765 108,66 108,66 1019,39379 1018,85049 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-14 9,4135 9,4085 108,4 108,4 1020,4234 1019,8814 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-17 9,4575 9,4525 108,5 108,5 1026,13875 1025,59625 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-18 9,4625 9,4575 108,26 108,26 1024,41025 1023,86895 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-19 9,4605 9,4555 107,72 107,72 1019,08506 1018,54646 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-20 9,4935 9,4885 107,45 107,45 1020,076575 1019,539325 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-21 9,4915 9,4865 107,23 107,23 1017,773545 1017,237395 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-24 9,5455 9,5405 108,17 108,17 1032,536735 1031,995885 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-25 9,5465 9,5415 108,19 108,19 1032,835835 1032,294885 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-26 9,4975 9,4925 108,12 108,12 1026,8697 1026,3291 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-27 9,5355 9,5305 107,33 107,33 1023,445215 1022,908565 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-28 9,5135 9,5085 107,52 107,52 1022,89152 1022,35392 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-10-31 9,5495 9,5445 108,86 108,86 1039,55857 1039,01427 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-02 9,5855 9,5805 109,65 109,65 1051,050075 1050,501825 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-03 9,6515 9,6465 110,41 110,41 1065,622115 1065,070065 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-04 9,5875 9,5825 110,68 110,68 1061,1445 1060,5911 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-07 9,6075 9,6025 110,83 110,83 1064,799225 1064,245075 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-08 9,5685 9,5635 110,79 110,79 1060,094115 1059,540165 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-09 9,5575 9,5525 110,63 110,63 1057,346225 1056,793075 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-10 9,6105 9,6055 110,59 110,59 1062,825195 1062,272245 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-11 9,6365 9,6315 110,9 110,9 1068,68785 1068,13335 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-14 9,5505 9,5455 110,91 110,91 1059,245955 1058,691405 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-15 9,5805 9,5755 110,74 110,74 1060,94457 1060,39087 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-16 9,6235 9,6185 110,86 110,86 1066,86121 1066,30691 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-17 9,6355 9,6305 111,35 111,35 1072,912925 1072,356175 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-18 9,6085 9,6035 111,45 111,45 1070,867325 1070,310075 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-21 9,5915 9,5865 111,76 111,76 1071,94604 1071,38724 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-22 9,5585 9,5535 112,11 112,11 1071,603435 1071,042885 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-23 9,5155 9,5105 112,09 112,09 1066,592395 1066,031945 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-24 9,5125 9,5075 112,19 112,19 1067,207375 1066,646425 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-25 9,4965 9,4915 112,43 112,43 1067,691495 1067,129345 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-28 9,4835 9,4785 111,86 111,86 1060,82431 1060,26501 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-29 9,4785 9,4735 111,99 111,99 1061,497215 1060,937265 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-11-30 9,5295 9,5245 111,78 111,78 1065,20751 1064,64861 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-01 9,5165 9,5115 112,82 112,82 1073,65153 1073,08743 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-02 9,4905 9,4855 113,37 113,37 1075,937985 1075,371135 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-05 9,4065 9,4015 113,28 113,28 1065,56832 1065,00192 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-06 9,4185 9,4135 113,4 113,4 1068,0579 1067,4909 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-07 9,4255 9,4205 113,49 113,49 1069,699995 1069,132545 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-08 9,3965 9,3915 113,12 113,12 1062,93208 1062,36648 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-12 9,4315 9,4265 113,1 113,1 1066,70265 1066,13715 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-13 9,4295 9,4245 113,3 113,3 1068,36235 1067,79585 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-14 9,4365 9,4315 113,15 113,15 1067,739975 1067,174225 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-15 9,4345 9,4295 113,17 113,17 1067,702365 1067,136515 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-16 9,4765 9,4715 113,1 113,1 1071,79215 1071,22665 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-19 9,4535 9,4485 112,81 112,81 1066,449335 1065,885285 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-20 9,4015 9,3965 113,28 113,28 1065,00192 1064,43552 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-21 9,4485 9,4435 113,8 113,8 1075,2393 1074,6703 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-22 9,4365 9,4315 114,04 114,04 1076,13846 1075,56826 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-23 9,4425 9,4375 114,28 114,28 1079,0889 1078,5175 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-27 9,4915 9,4865 114,12 114,12 1083,16998 1082,59938 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-28 9,4345 9,4295 114,25 114,25 1077,891625 1077,320375 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-29 9,4115 9,4065 114,52 114,52 1077,80498 1077,23238 151597 Finter Fund Management Company S.A Finter Fund Dynamic Portfolio (EUR) EUR 2005-12-30 9,4325 9,4275 114,53 114,53 1080,304225 1079,731575 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-03 6,668 6,658 1515,18 1515,18 10103,22024 10088,06844 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-04 6,728 6,718 1492,91 1492,91 10044,29848 10029,36938 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-05 6,828 6,818 1473,76 1473,76 10062,83328 10048,09568 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-07 6,87 6,86 1459,14 1459,14 10024,2918 10009,7004 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-10 6,96091 6,95091 1458 1458 10149,00678 10134,42678 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-11 6,96091 6,95091 1462,86 1462,86 10182,8368026 10168,2082026 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-12 6,913 6,903 1464,73 1464,73 10125,67849 10111,03119 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-13 6,843 6,833 1473,03 1473,03 10079,94429 10065,21399 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-14 6,915 6,905 1480,54 1480,54 10237,9341 10223,1287 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-17 6,915 6,905 1493,27 1493,27 10325,96205 10311,02935 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-18 6,968 6,958 1483,55 1483,55 10337,3764 10322,5409 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-19 6,91 6,9 1486,48 1486,48 10271,5768 10256,712 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-20 6,96 6,95 1471,06 1471,06 10238,5776 10223,867 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-21 6,978 6,968 1477,01 1477,01 10306,57578 10291,80568 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-24 6,933 6,923 1480,64 1480,64 10265,27712 10250,47072 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-25 6,95 6,94 1484,03 1484,03 10314,0085 10299,1682 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-26 6,995 6,985 1498,25 1498,25 10480,25875 10465,27625 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-27 6,93 6,92 1498,61 1498,61 10385,3673 10370,3812 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-28 6,985 6,975 1505,02 1505,02 10512,5647 10497,5145 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-01-31 6,998 6,988 1519,2 1519,2 10631,3616 10616,1696 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-01 6,993 6,983 1513,78 1513,78 10585,86354 10570,72574 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-02 6,953 6,943 1520,09 1520,09 10569,18577 10553,98487 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-03 6,968 6,958 1526,65 1526,65 10637,6972 10622,4307 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-04 7,01 7 1534,09 1534,09 10753,9709 10738,63 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-07 7,065 7,055 1546,83 1546,83 10928,35395 10912,88565 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-08 7,123 7,113 1547,17 1547,17 11020,49191 11005,02021 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-11 7,068 7,058 1547,33 1547,33 10936,52844 10921,05514 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-14 7,03 7,02 1564,87 1564,87 11001,0361 10985,3874 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-15 7,005 6,995 1568,2 1568,2 10985,241 10969,559 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-16 6,973 6,963 1566,28 1566,28 10921,67044 10906,00764 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-17 6,97 6,96 1569,19 1569,19 10937,2543 10921,5624 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-18 6,965 6,955 1577,84 1577,84 10989,6556 10973,8772 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-21 6,978 6,968 1577,85 1577,85 11010,2373 10994,4588 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-22 6,905 6,895 1582,61 1582,61 10927,92205 10912,09595 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-23 6,895 6,885 1581,48 1581,48 10904,3046 10888,4898 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-24 6,858 6,848 1601,09 1601,09 10980,27522 10964,26432 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-25 6,885 6,875 1611,31 1611,31 11093,86935 11077,75625 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-02-28 6,828 6,818 1621,36 1621,36 11070,64608 11054,43248 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-01 6,87 6,86 1619,1 1619,1 11123,217 11107,026 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-02 6,888 6,878 1602,43 1602,43 11037,53784 11021,51354 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-03 6,903 6,893 1606,04 1606,04 11086,49412 11070,43372 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-04 6,9 6,89 1612,02 1612,02 11122,938 11106,8178 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-07 6,84 6,83 1616,61 1616,61 11057,6124 11041,4463 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-08 6,825 6,815 1616,61 1616,61 11033,36325 11017,19715 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-09 6,76 6,75 1621,85 1621,85 10963,706 10947,4875 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-10 6,745 6,735 1603,87 1603,87 10818,10315 10802,06445 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-11 6,765 6,755 1611,77 1611,77 10903,62405 10887,50635 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-14 6,76 6,75 1599,25 1599,25 10810,93 10794,9375 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-15 6,815 6,805 1579,6 1579,6 10764,974 10749,178 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-16 6,81 6,8 1579,93 1579,93 10759,3233 10743,524 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-17 6,795 6,785 1578,21 1578,21 10723,93695 10708,15485 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-18 6,828 6,818 1574,65 1574,65 10751,7102 10735,9637 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-21 6,908 6,898 1568,88 1568,88 10837,82304 10822,13424 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-22 6,928 6,918 1562,54 1562,54 10825,27712 10809,65172 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-23 6,973 6,963 1541,14 1541,14 10746,36922 10730,95782 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-24 7,008 6,998 1537,94 1537,94 10777,88352 10762,50412 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-29 7,055 7,045 1516,52 1516,52 10699,0486 10683,8834 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-30 7,053 7,043 1517,49 1517,49 10702,85697 10687,68207 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-03-31 7,065 7,055 1535,07 1535,07 10845,26955 10829,91885 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-01 7,07 7,06 1551,07 1551,07 10966,0649 10950,5542 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-04 7,113 7,103 1546,98 1546,98 11003,66874 10988,19894 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-05 7,163 7,153 1547,18 1547,18 11082,45034 11066,97854 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-06 7,125 7,115 1552,37 1552,37 11060,63625 11045,11255 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-07 7,083 7,073 1557,43 1557,43 11031,27669 11015,70239 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-08 7,153 7,143 1559,37 1559,37 11154,17361 11138,57991 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-11 7,098 7,088 1553,72 1553,72 11028,30456 11012,76736 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-12 7,048 7,038 1552,03 1552,03 10938,70744 10923,18714 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-13 7,075 7,065 1556,5 1556,5 11012,2375 10996,6725 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-14 7,12 7,11 1529,32 1529,32 10888,7584 10873,4652 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-15 7,17 7,16 1511,24 1511,24 10835,5908 10820,4784 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-18 7,08 7,07 1486,6 1486,6 10525,128 10510,262 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-19 7,068 7,058 1501,12 1501,12 10609,91616 10594,90496 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-20 7,043 7,033 1504,03 1504,03 10592,88329 10577,84299 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-21 7,025 7,015 1507,82 1507,82 10592,4355 10577,3573 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-22 7,023 7,013 1512,75 1512,75 10624,04325 10608,91575 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-25 7,04 7,03 1519,83 1519,83 10699,6032 10684,4049 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-26 7,035 7,025 1522,14 1522,14 10708,2549 10693,0335 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-27 7,085 7,075 1513,78 1513,78 10725,1313 10709,9935 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-28 7,085 7,075 1505,37 1505,37 10665,54645 10650,49275 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-04-29 7,08 7,07 1507,2 1507,2 10670,976 10655,904 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-02 7,15 7,14 1507,2 1507,2 10776,48 10761,408 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-03 7,178 7,168 1510,64 1510,64 10843,37392 10828,26752 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-04 7,11 7,1 1530,07 1530,07 10878,7977 10863,497 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-06 7,085 7,075 1530,07 1530,07 10840,54595 10825,24525 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-09 7,168 7,158 1549,48 1549,48 11106,67264 11091,17784 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-10 7,178 7,168 1541,27 1541,27 11063,23606 11047,82336 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-11 7,15 7,14 1530,92 1530,92 10946,078 10930,7688 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-12 7,243 7,233 1522,37 1522,37 11026,52591 11011,30221 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-13 7,265 7,255 1518,84 1518,84 11034,3726 11019,1842 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-16 7,32 7,31 1518,84 1518,84 11117,9088 11102,7204 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-17 7,313 7,303 1517,83 1517,83 11099,89079 11084,71249 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-18 7,3 7,29 1522,95 1522,95 11117,535 11102,3055 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-19 7,26 7,25 1535,23 1535,23 11145,7698 11130,4175 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-20 7,28 7,27 1532,71 1532,71 11158,1288 11142,8017 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-23 7,32 7,31 1526,88 1526,88 11176,7616 11161,4928 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-24 7,295 7,285 1534,06 1534,06 11190,9677 11175,6271 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-25 7,298 7,288 1522,57 1522,57 11111,71586 11096,49016 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-26 7,33 7,32 1524,97 1524,97 11178,0301 11162,7804 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-27 7,338 7,328 1538,69 1538,69 11290,90722 11275,52032 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-30 7,338 7,328 1545,07 1545,07 11337,72366 11322,27296 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-05-31 7,403 7,393 1540,63 1540,63 11405,28389 11389,87759 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-01 7,428 7,418 1538,82 1538,82 11430,35496 11414,96676 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-02 7,473 7,463 1551,55 1551,55 11594,73315 11579,21765 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-03 7,438 7,428 1560,19 1560,19 11604,69322 11589,09132 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-07 7,448 7,438 1553,05 1553,05 11567,1164 11551,5859 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-08 7,435 7,425 1554,42 1554,42 11557,1127 11541,5685 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-09 7,523 7,513 1551 1551 11668,173 11652,663 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-10 7,525 7,515 1560,99 1560,99 11746,44975 11730,83985 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-13 7,643 7,633 1564,22 1564,22 11955,33346 11939,69126 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-14 7,663 7,653 1565,06 1565,06 11993,05478 11977,40418 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-15 7,693 7,683 1569 1569 12070,317 12054,627 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-16 7,678 7,668 1573,36 1573,36 12080,25808 12064,52448 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-17 7,643 7,633 1584,25 1584,25 12108,42275 12092,58025 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-20 7,543 7,533 1582,23 1582,23 11934,76089 11918,93859 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-21 7,648 7,638 1576,26 1576,26 12055,23648 12039,47388 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-22 7,608 7,598 1589,75 1589,75 12094,818 12078,9205 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-27 7,73 7,72 1577,54 1577,54 12194,3842 12178,6088 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-28 7,76 7,75 1580,5 1580,5 12264,68 12248,875 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-29 7,833 7,823 1574,94 1574,94 12336,50502 12320,75562 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-06-30 7,823 7,813 1574,03 1574,03 12313,63669 12297,89639 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-01 7,858 7,848 1583,62 1583,62 12444,08596 12428,24976 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-04 7,945 7,935 1577,26 1577,26 12531,3307 12515,5581 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-05 7,963 7,953 1570,5 1570,5 12505,8915 12490,1865 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-06 7,895 7,885 1574,97 1574,97 12434,38815 12418,63845 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-07 7,878 7,868 1569,62 1569,62 12365,46636 12349,77016 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-08 7,913 7,903 1571,74 1571,74 12437,17862 12421,46122 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-11 7,89 7,88 1595,28 1595,28 12586,7592 12570,8064 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-12 7,77 7,76 1608,62 1608,62 12498,9774 12482,8912 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-13 7,703 7,693 1614,53 1614,53 12436,72459 12420,57929 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-14 7,76 7,75 1624,81 1624,81 12608,5256 12592,2775 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-15 7,76 7,75 1613,07 1613,07 12517,4232 12501,2925 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-18 7,78 7,77 1616,41 1616,41 12575,6698 12559,5057 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-19 7,878 7,868 1622,67 1622,67 12783,39426 12767,16756 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-20 7,818 7,808 1630,52 1630,52 12747,40536 12731,10016 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-21 7,775 7,765 1642,06 1642,06 12767,0165 12750,5959 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-22 7,758 7,748 1653,22 1653,22 12825,68076 12809,14856 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-25 7,838 7,828 1652,14 1652,14 12949,47332 12932,95192 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-26 7,818 7,808 1642,95 1642,95 12844,5831 12828,1536 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-27 7,905 7,895 1648,87 1648,87 13034,31735 13017,82865 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-28 7,848 7,838 1663,69 1663,69 13056,63912 13040,00222 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-07-29 7,748 7,738 1667,44 1667,44 12919,32512 12902,65072 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-01 7,72 7,71 1678,38 1678,38 12957,0936 12940,3098 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-02 7,7 7,69 1698,64 1698,64 13079,528 13062,5416 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-03 7,685 7,675 1705,41 1705,41 13106,07585 13089,02175 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-04 7,618 7,608 1704,39 1704,39 12984,04302 12966,99912 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-05 7,548 7,538 1694,57 1694,57 12790,61436 12773,66866 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-08 7,558 7,548 1694,95 1694,95 12810,4321 12793,4826 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-09 7,548 7,538 1702,33 1702,33 12849,18684 12832,16354 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-10 7,558 7,548 1716,37 1716,37 12972,32446 12955,16076 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-11 7,523 7,513 1717,56 1717,56 12921,20388 12904,02828 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-12 7,46 7,45 1713,38 1713,38 12781,8148 12764,681 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-16 7,523 7,513 1702,09 1702,09 12804,82307 12787,80217 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-17 7,605 7,595 1698,16 1698,16 12914,5068 12897,5252 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-18 7,61 7,6 1674,99 1674,99 12746,6739 12729,924 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-19 7,698 7,688 1665,59 1665,59 12821,71182 12805,05592 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-22 7,69 7,68 1685,73 1685,73 12963,2637 12946,4064 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-23 7,663 7,653 1677,13 1677,13 12851,84719 12835,07589 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-24 7,673 7,663 1663,76 1663,76 12766,03048 12749,39288 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-25 7,588 7,578 1668,76 1668,76 12662,55088 12645,86328 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-26 7,578 7,568 1669,92 1669,92 12654,65376 12637,95456 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-29 7,573 7,563 1657,25 1657,25 12550,35425 12533,78175 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-30 7,633 7,623 1661,57 1661,57 12682,76381 12666,14811 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-08-31 7,668 7,658 1670,56 1670,56 12809,85408 12793,14848 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-01 7,568 7,558 1694,64 1694,64 12825,03552 12808,08912 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-02 7,435 7,425 1711,98 1711,98 12728,5713 12711,4515 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-05 7,41 7,4 1712,84 1712,84 12692,1444 12675,016 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-06 7,485 7,475 1711,24 1711,24 12808,6314 12791,519 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-07 7,43 7,42 1713,05 1713,05 12727,9615 12710,831 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-08 7,498 7,488 1716,92 1716,92 12873,46616 12856,29696 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-09 7,523 7,513 1726,03 1726,03 12984,92369 12967,66339 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-12 7,555 7,545 1729,59 1729,59 13067,05245 13049,75655 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-13 7,57 7,56 1719,45 1719,45 13016,2365 12999,042 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-14 7,61 7,6 1723,49 1723,49 13115,7589 13098,524 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-15 7,658 7,648 1728,54 1728,54 13237,15932 13219,87392 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-16 7,613 7,603 1732,63 1732,63 13190,51219 13173,18589 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-19 7,698 7,688 1739,9 1739,9 13393,7502 13376,3512 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-20 7,688 7,678 1751,45 1751,45 13465,1476 13447,6331 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-21 7,663 7,653 1760,21 1760,21 13488,48923 13470,88713 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-22 7,648 7,638 1752,8 1752,8 13405,4144 13387,8864 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-23 7,733 7,723 1740,57 1740,57 13459,82781 13442,42211 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-26 7,798 7,788 1748,48 1748,48 13634,64704 13617,16224 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-27 7,825 7,815 1752,97 1752,97 13716,99025 13699,46055 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-28 7,81 7,8 1758,66 1758,66 13735,1346 13717,548 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-29 7,785 7,775 1772,59 1772,59 13799,61315 13781,88725 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-09-30 7,785 7,775 1781,09 1781,09 13865,78565 13847,97475 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-03 7,783 7,773 1781,27 1781,27 13863,62441 13845,81171 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-04 7,82 7,81 1786,21 1786,21 13968,1622 13950,3001 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-05 7,795 7,785 1761,21 1761,21 13728,63195 13711,01985 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-06 7,713 7,703 1721,64 1721,64 13279,00932 13261,79292 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-07 7,683 7,673 1727,92 1727,92 13275,60936 13258,33016 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-10 7,698 7,688 1740,47 1740,47 13398,13806 13380,73336 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-11 7,77 7,76 1749,92 1749,92 13596,8784 13579,3792 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-12 7,805 7,795 1725,49 1725,49 13467,44945 13450,19455 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-13 7,83 7,82 1695,22 1695,22 13273,5726 13256,6204 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-14 7,833 7,823 1688,12 1688,12 13223,04396 13206,16276 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-17 7,835 7,825 1688,19 1688,19 13226,96865 13210,08675 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-18 7,893 7,883 1680,46 1680,46 13263,87078 13247,06618 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-19 7,96 7,95 1647,34 1647,34 13112,8264 13096,353 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-20 7,93 7,92 1648,01 1648,01 13068,7193 13052,2392 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-21 7,883 7,873 1658,11 1658,11 13070,88113 13054,30003 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-24 7,995 7,985 1664,52 1664,52 13307,8374 13291,1922 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-25 7,99 7,98 1658,72 1658,72 13253,1728 13236,5856 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-26 7,868 7,858 1664,53 1664,53 13096,52204 13079,87674 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-27 7,868 7,858 1647,3 1647,3 12960,9564 12944,4834 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-28 7,825 7,815 1642,27 1642,27 12850,76275 12834,34005 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-10-31 7,905 7,895 1669,73 1669,73 13199,21565 13182,51835 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-02 7,98 7,97 1717,37 1717,37 13704,6126 13687,4389 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-03 8,01 8 1727 1727 13833,27 13816 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-04 8,028 8,018 1721,02 1721,02 13816,34856 13799,13836 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-07 8,135 8,125 1713,46 1713,46 13938,9971 13921,8625 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-08 8,17 8,16 1713,14 1713,14 13996,3538 13979,2224 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-09 8,12 8,11 1724,35 1724,35 14001,722 13984,4785 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-10 8,173 8,163 1724,24 1724,24 14092,21352 14074,97112 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-11 8,235 8,225 1733,67 1733,67 14276,77245 14259,43575 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-14 8,133 8,123 1734,43 1734,43 14106,11919 14088,77489 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-15 8,185 8,175 1728,77 1728,77 14149,98245 14132,69475 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-16 8,21 8,2 1735,1 1735,1 14245,171 14227,82 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-17 8,258 8,248 1750,2 1750,2 14453,1516 14435,6496 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-18 8,223 8,213 1762,87 1762,87 14496,08001 14478,45131 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-21 8,123 8,113 1766,15 1766,15 14346,43645 14328,77495 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-22 8,15 8,14 1751,36 1751,36 14273,584 14256,0704 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-23 8,048 8,038 1779,54 1779,54 14321,73792 14303,94252 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-24 8,053 8,043 1784,79 1784,79 14372,91387 14355,06597 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-25 8,078 8,068 1784,24 1784,24 14413,09072 14395,24832 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-28 8,118 8,108 1785,93 1785,93 14498,17974 14480,32044 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-29 8,015 8,005 1777,62 1777,62 14247,6243 14229,8481 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-11-30 8,088 8,078 1784,53 1784,53 14433,27864 14415,43334 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-01 8,083 8,073 1793,06 1793,06 14493,30398 14475,37338 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-02 8,103 8,093 1810,35 1810,35 14669,26605 14651,16255 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-05 8,045 8,035 1820,32 1820,32 14644,4744 14626,2712 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-06 7,993 7,983 1829,58 1829,58 14623,83294 14605,53714 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-07 8,015 8,005 1834,05 1834,05 14699,91075 14681,57025 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-08 7,988 7,978 1825,33 1825,33 14580,73604 14562,48274 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-12 7,953 7,943 1834,64 1834,64 14590,89192 14572,54552 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-13 7,905 7,895 1839,67 1839,67 14542,59135 14524,19465 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-14 7,848 7,838 1840,21 1840,21 14441,96808 14423,56598 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-15 7,858 7,848 1837,94 1837,94 14442,53252 14424,15312 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-16 7,903 7,893 1833,61 1833,61 14491,01983 14472,68373 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-19 7,865 7,855 1841,26 1841,26 14481,5099 14463,0973 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-20 7,848 7,838 1840,8 1840,8 14446,5984 14428,1904 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-21 7,948 7,938 1852,5 1852,5 14723,67 14705,145 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-22 7,98 7,97 1852,73 1852,73 14784,7854 14766,2581 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-23 7,955 7,945 1863,05 1863,05 14820,56275 14801,93225 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-27 8,01 8 1866,46 1866,46 14950,3446 14931,68 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-28 7,915 7,905 1861,39 1861,39 14732,90185 14714,28795 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-29 7,938 7,928 1873,54 1873,54 14872,16052 14853,42512 944108 Finter Fund Management Company S.A Finter Fund Emerging Markets USD 2005-12-30 7,958 7,948 1864,38 1864,38 14836,73604 14818,09224 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-03 9,0065 9,0015 334,9 334,9 3016,27685 3014,60235 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-04 9,0345 9,0295 334,74 334,74 3024,20853 3022,53483 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-05 9,0615 9,0565 334,82 334,82 3033,97143 3032,29733 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-07 9,0615 9,0565 335,33 335,33 3038,592795 3036,916145 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-10 9,08619 9,08119 335,6 335,6 3049,325364 3047,647364 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-11 9,08619 9,08119 335,57 335,57 3049,0527783 3047,3749283 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-12 9,0455 9,0405 335,54 335,54 3035,12707 3033,44937 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-13 9,0505 9,0455 336,07 336,07 3041,601535 3039,921185 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-14 9,0455 9,0405 336,07 336,07 3039,921185 3038,240835 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-17 9,0685 9,0635 336,27 336,27 3049,464495 3047,783145 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-18 9,0585 9,0535 336,29 336,29 3046,282965 3044,601515 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-19 9,0225 9,0175 336,47 336,47 3035,800575 3034,118225 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-20 9,0315 9,0265 335,99 335,99 3034,493685 3032,813735 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-21 9,0505 9,0455 336,12 336,12 3042,05406 3040,37346 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-24 9,0655 9,0605 336,4 336,4 3049,6342 3047,9522 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-25 9,0715 9,0665 336,25 336,25 3050,291875 3048,610625 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-26 9,0885 9,0835 336,06 336,06 3054,28131 3052,60101 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-27 9,0675 9,0625 335,71 335,71 3044,050425 3042,371875 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-28 9,0955 9,0905 336,26 336,26 3058,45283 3056,77153 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-01-31 9,1075 9,1025 336,38 336,38 3063,58085 3061,89895 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-01 9,1035 9,0985 336,44 336,44 3062,78154 3061,09934 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-02 9,0905 9,0855 336,27 336,27 3056,862435 3055,181085 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-03 9,0695 9,0645 336,07 336,07 3047,986865 3046,306515 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-04 9,0895 9,0845 336,72 336,72 3060,61644 3058,93284 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-07 9,0755 9,0705 336,8 336,8 3056,6284 3054,9444 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-08 9,0895 9,0845 336,95 336,95 3062,707025 3061,022275 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-09 9,0695 9,0645 337,28 337,28 3058,96096 3057,27456 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-10 9,0805 9,0755 337,44 337,44 3064,12392 3062,43672 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-11 9,0935 9,0885 337,36 337,36 3067,78316 3066,09636 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-14 9,1105 9,1055 337,12 337,12 3071,33176 3069,64616 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-15 9,0765 9,0715 336,77 336,77 3056,692905 3055,009055 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-16 9,0705 9,0655 336,59 336,59 3053,039595 3051,356645 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-17 9,0925 9,0875 336,28 336,28 3057,6259 3055,9445 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-18 9,0945 9,0895 335,37 335,37 3050,022465 3048,345615 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-21 9,1185 9,1135 335,13 335,13 3055,882905 3054,207255 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-22 9,0975 9,0925 335,27 335,27 3050,118825 3048,442475 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-23 9,1045 9,0995 335,29 335,29 3052,647805 3050,971355 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-24 9,0715 9,0665 335,11 335,11 3039,950365 3038,274815 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-25 9,0845 9,0795 335,18 335,18 3044,94271 3043,26681 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-02-28 9,0505 9,0455 335,27 335,27 3034,361135 3032,684785 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-01 9,0565 9,0515 335,21 335,21 3035,829365 3034,153315 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-02 9,0645 9,0595 334,95 334,95 3036,154275 3034,479525 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-03 9,0675 9,0625 335,16 335,16 3039,0633 3037,3875 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-04 9,0415 9,0365 335,8 335,8 3036,1357 3034,4567 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-07 9,0425 9,0375 336,33 336,33 3041,264025 3039,582375 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-08 9,0345 9,0295 336,33 336,33 3038,573385 3036,891735 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-09 9,0365 9,0315 335,38 335,38 3030,66137 3028,98447 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-10 9,0655 9,0605 335,18 335,18 3038,57429 3036,89839 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-11 9,0795 9,0745 335,29 335,29 3044,265555 3042,589105 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-14 9,0695 9,0645 335,17 335,17 3039,824315 3038,148465 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-15 9,1035 9,0985 335,69 335,69 3055,953915 3054,275465 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-16 9,0975 9,0925 335,78 335,78 3054,75855 3053,07965 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-17 9,1045 9,0995 335,66 335,66 3056,01647 3054,33817 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-18 9,1035 9,0985 335,32 335,32 3052,58562 3050,90902 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-21 9,1265 9,1215 334,68 334,68 3054,45702 3052,78362 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-22 9,1265 9,1215 335,07 335,07 3058,016355 3056,341005 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-23 9,1165 9,1115 334,61 334,61 3050,472065 3048,799015 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-24 9,1135 9,1085 334,81 334,81 3051,290935 3049,616885 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-29 9,1315 9,1265 334,79 334,79 3057,134885 3055,460935 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-30 9,1425 9,1375 335,09 335,09 3063,560325 3061,884875 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-03-31 9,1405 9,1355 335,76 335,76 3069,01428 3067,33548 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-01 9,1645 9,1595 336,07 336,07 3079,913515 3078,233165 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-04 9,1695 9,1645 336,49 336,49 3085,445055 3083,762605 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-05 9,1745 9,1695 336,4 336,4 3086,3018 3084,6198 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-06 9,1705 9,1655 336,5 336,5 3085,87325 3084,19075 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-07 9,1505 9,1455 337,11 337,11 3084,725055 3083,039505 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-08 9,1625 9,1575 336,96 336,96 3087,396 3085,7112 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-11 9,1705 9,1655 337,19 337,19 3092,200895 3090,514945 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-12 9,1525 9,1475 337,13 337,13 3085,582325 3083,896675 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-13 9,1495 9,1445 337,39 337,39 3086,949805 3085,262855 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-14 9,1685 9,1635 337,28 337,28 3092,35168 3090,66528 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-15 9,1925 9,1875 337,72 337,72 3104,4911 3102,8025 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-18 9,1805 9,1755 337,97 337,97 3102,733585 3101,043735 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-19 9,2035 9,1985 338,27 338,27 3113,267945 3111,576595 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-20 9,1915 9,1865 338,17 338,17 3108,289555 3106,598705 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-21 9,1855 9,1805 338,01 338,01 3104,790855 3103,100805 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-22 9,1625 9,1575 338,17 338,17 3098,482625 3096,791775 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-25 9,1685 9,1635 338,38 338,38 3102,43703 3100,74513 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-26 9,1375 9,1325 338,24 338,24 3090,668 3088,9768 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-27 9,1465 9,1415 338,61 338,61 3097,096365 3095,403315 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-28 9,1505 9,1455 338,86 338,86 3100,73843 3099,04413 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-04-29 9,1705 9,1655 339,64 339,64 3114,66862 3112,97042 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-02 9,1935 9,1885 339,04 339,04 3116,96424 3115,26904 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-03 9,2245 9,2195 339,44 339,44 3131,16428 3129,46708 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-04 9,1915 9,1865 339,08 339,08 3116,65382 3114,95842 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-06 9,1715 9,1665 338,73 338,73 3106,662195 3104,968545 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-09 9,1815 9,1765 339,08 339,08 3113,26302 3111,56762 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-10 9,1985 9,1935 339,31 339,31 3121,143035 3119,446485 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-11 9,2105 9,2055 339,59 339,59 3127,793695 3126,095745 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-12 9,2315 9,2265 339,45 339,45 3133,632675 3131,935425 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-13 9,2045 9,1995 339,62 339,62 3126,03229 3124,33419 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-17 9,2325 9,2275 339,78 339,78 3137,01885 3135,31995 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-18 9,2095 9,2045 339,75 339,75 3128,927625 3127,228875 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-19 9,1905 9,1855 339,55 339,55 3120,634275 3118,936525 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-20 9,1955 9,1905 339,36 339,36 3120,58488 3118,88808 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-23 9,1805 9,1755 339,71 339,71 3118,707655 3117,009105 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-24 9,1815 9,1765 340,19 340,19 3123,454485 3121,753535 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-25 9,1785 9,1735 340,3 340,3 3123,44355 3121,74205 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-26 9,1945 9,1895 340,26 340,26 3128,52057 3126,81927 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-27 9,1955 9,1905 340,31 340,31 3129,320605 3127,619055 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-30 9,1905 9,1855 340,29 340,29 3127,435245 3125,733795 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-05-31 9,1665 9,1615 340,85 340,85 3124,401525 3122,697275 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-01 9,1455 9,1405 341,29 341,29 3121,267695 3119,561245 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-02 9,1565 9,1515 341,29 341,29 3125,021885 3123,315435 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-03 9,1315 9,1265 341,36 341,36 3117,12884 3115,42204 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-07 9,1455 9,1405 341,88 341,88 3126,66354 3124,95414 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-08 9,1455 9,1405 342,08 342,08 3128,49264 3126,78224 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-09 9,1965 9,1915 342 342 3145,203 3143,493 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-10 9,1975 9,1925 341,73 341,73 3143,061675 3141,353025 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-13 9,2365 9,2315 341,56 341,56 3154,81894 3153,11114 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-14 9,2985 9,2935 341,42 341,42 3174,69387 3172,98677 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-15 9,2695 9,2645 340,41 340,41 3155,430495 3153,728445 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-16 9,2695 9,2645 340,24 340,24 3153,85468 3152,15348 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-17 9,2695 9,2645 340,41 340,41 3155,430495 3153,728445 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-20 9,2255 9,2205 340,63 340,63 3142,482065 3140,778915 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-21 9,2725 9,2675 341,59 341,59 3167,393275 3165,685325 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-22 9,2615 9,2565 342,28 342,28 3170,02622 3168,31482 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-27 9,3855 9,3805 342,64 342,64 3215,84772 3214,13452 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-28 9,3995 9,3945 342,1 342,1 3215,56895 3213,85845 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-29 9,4215 9,4165 342,26 342,26 3224,60259 3222,89129 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-06-30 9,4415 9,4365 342,86 342,86 3237,11269 3235,39839 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-01 9,4595 9,4545 342,59 342,59 3240,730105 3239,017155 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-04 9,4795 9,4745 342,25 342,25 3244,358875 3242,647625 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-05 9,4575 9,4525 341,71 341,71 3231,722325 3230,013775 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-06 9,4195 9,4145 341,55 341,55 3217,230225 3215,522475 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-07 9,3965 9,3915 342,08 342,08 3214,35472 3212,64432 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-08 9,4175 9,4125 342,21 342,21 3222,762675 3221,051625 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-11 9,4665 9,4615 341,56 341,56 3233,37774 3231,66994 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-12 9,4645 9,4595 341,68 341,68 3233,83036 3232,12196 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-13 9,3915 9,3865 341,35 341,35 3205,788525 3204,081775 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-14 9,3675 9,3625 341,08 341,08 3195,0669 3193,3615 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-15 9,4055 9,4005 341,44 341,44 3211,41392 3209,70672 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-18 9,3895 9,3845 341,84 341,84 3209,70668 3207,99748 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-19 9,4425 9,4375 341,6 341,6 3225,558 3223,85 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-20 9,4265 9,4215 341,37 341,37 3217,924305 3216,217455 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-21 9,4625 9,4575 341,48 341,48 3231,2545 3229,5471 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-22 9,4495 9,4445 342,25 342,25 3234,091375 3232,380125 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-25 9,4275 9,4225 342,62 342,62 3230,05005 3228,33695 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-26 9,4155 9,4105 342,18 342,18 3221,79579 3220,08489 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-27 9,4725 9,4675 342,45 342,45 3243,857625 3242,145375 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-28 9,4515 9,4465 342,32 342,32 3235,43748 3233,72588 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-07-29 9,3885 9,3835 342,15 342,15 3212,275275 3210,564525 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-01 9,3985 9,3935 341,51 341,51 3209,681735 3207,974185 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-02 9,3995 9,3945 341,11 341,11 3206,263445 3204,557895 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-03 9,3755 9,3705 341,27 341,27 3199,576885 3197,870535 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-04 9,3735 9,3685 341,19 341,19 3198,144465 3196,438515 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-05 9,3355 9,3305 340,51 340,51 3178,831105 3177,128555 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-08 9,3335 9,3285 340,7 340,7 3179,92345 3178,21995 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-09 9,3455 9,3405 340,45 340,45 3181,675475 3179,973225 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-10 9,3535 9,3485 340,77 340,77 3187,392195 3185,688345 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-11 9,3365 9,3315 340,98 340,98 3183,55977 3181,85487 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-12 9,3025 9,2975 341,67 341,67 3178,385175 3176,676825 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-16 9,2995 9,2945 342,61 342,61 3186,101695 3184,388645 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-17 9,3405 9,3355 342,73 342,73 3201,269565 3199,555915 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-18 9,3365 9,3315 343,21 343,21 3204,380165 3202,664115 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-19 9,3395 9,3345 343,16 343,16 3204,94282 3203,22702 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-22 9,3655 9,3605 343,33 343,33 3215,457115 3213,740465 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-23 9,3715 9,3665 343,38 343,38 3217,98567 3216,26877 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-24 9,3365 9,3315 343,49 343,49 3206,994385 3205,276935 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-25 9,3335 9,3285 343,9 343,9 3209,79065 3208,07115 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-26 9,3415 9,3365 343,75 343,75 3211,140625 3209,421875 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-29 9,3295 9,3245 343,76 343,76 3207,10892 3205,39012 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-30 9,3285 9,3235 343,74 343,74 3206,57859 3204,85989 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-08-31 9,3585 9,3535 344,43 344,43 3223,348155 3221,626005 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-01 9,3365 9,3315 345,14 345,14 3222,39961 3220,67391 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-02 9,3025 9,2975 345,23 345,23 3211,502075 3209,775925 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-05 9,2845 9,2795 345,31 345,31 3206,030695 3204,304145 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-06 9,3225 9,3175 344,9 344,9 3215,33025 3213,60575 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-07 9,3075 9,3025 344,66 344,66 3207,92295 3206,19965 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-08 9,3255 9,3205 344,96 344,96 3216,92448 3215,19968 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-09 9,3445 9,3395 345,34 345,34 3227,02963 3225,30293 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-12 9,3015 9,2965 344,33 344,33 3202,785495 3201,063845 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-13 9,3015 9,2965 344,69 344,69 3206,134035 3204,410585 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-14 9,3365 9,3315 344,64 344,64 3217,73136 3216,00816 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-15 9,3425 9,3375 344,36 344,36 3217,1833 3215,4615 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-16 9,3465 9,3415 344,28 344,28 3217,81302 3216,09162 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-19 9,3355 9,3305 344,6 344,6 3217,0133 3215,2903 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-20 9,3395 9,3345 344,71 344,71 3219,419045 3217,695495 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-21 9,3405 9,3355 345,11 345,11 3223,499955 3221,774405 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-22 9,3405 9,3355 345,1 345,1 3223,40655 3221,68105 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-23 9,3695 9,3645 344,56 344,56 3228,35492 3226,63212 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-26 9,3815 9,3765 343,49 343,49 3222,451435 3220,733985 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-27 9,3885 9,3835 343,4 343,4 3224,0109 3222,2939 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-28 9,3935 9,3885 343,29 343,29 3224,694615 3222,978165 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-29 9,3845 9,3795 342,83 342,83 3217,288135 3215,573985 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-09-30 9,3435 9,3385 343,04 343,04 3205,19424 3203,47904 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-03 9,3025 9,2975 342,56 342,56 3186,6644 3184,9516 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-04 9,3185 9,3135 342,59 342,59 3192,424915 3190,711965 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-05 9,3105 9,3055 342,8 342,8 3191,6394 3189,9254 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-06 9,3015 9,2965 342,55 342,55 3186,228825 3184,516075 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-07 9,3385 9,3335 342,65 342,65 3199,837025 3198,123775 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-10 9,3465 9,3415 342,78 342,78 3203,79327 3202,07937 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-11 9,3395 9,3345 342,5 342,5 3198,77875 3197,06625 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-12 9,3375 9,3325 342,13 342,13 3194,638875 3192,928225 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-13 9,3815 9,3765 341,42 341,42 3203,03173 3201,32463 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-14 9,4135 9,4085 341,27 341,27 3212,545145 3210,838795 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-17 9,4575 9,4525 341,2 341,2 3226,899 3225,193 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-18 9,4625 9,4575 341,33 341,33 3229,835125 3228,128475 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-19 9,4605 9,4555 341,55 341,55 3231,233775 3229,526025 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-20 9,4935 9,4885 341 341 3237,2835 3235,5785 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-21 9,4915 9,4865 341,79 341,79 3244,099785 3242,390835 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-24 9,5455 9,5405 341,85 341,85 3263,129175 3261,419925 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-25 9,5465 9,5415 340,8 340,8 3253,4472 3251,7432 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-26 9,4975 9,4925 340,01 340,01 3229,244975 3227,544925 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-27 9,5355 9,5305 339,49 339,49 3237,206895 3235,509445 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-28 9,5135 9,5085 339,32 339,32 3228,12082 3226,42422 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-10-31 9,5495 9,5445 339,39 339,39 3241,004805 3239,307855 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-02 9,5855 9,5805 338,36 338,36 3243,34978 3241,65798 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-03 9,6515 9,6465 338,14 338,14 3263,55821 3261,86751 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-04 9,5875 9,5825 337,61 337,61 3236,835875 3235,147825 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-07 9,6075 9,6025 337,41 337,41 3241,666575 3239,979525 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-08 9,5685 9,5635 337,45 337,45 3228,890325 3227,203075 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-09 9,5575 9,5525 336,3 336,3 3214,18725 3212,50575 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-10 9,6105 9,6055 336,38 336,38 3232,77999 3231,09809 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-11 9,6365 9,6315 336,47 336,47 3242,393155 3240,710805 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-14 9,5505 9,5455 336,05 336,05 3209,445525 3207,765275 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-15 9,5805 9,5755 336,66 336,66 3225,37113 3223,68783 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-16 9,6235 9,6185 337,5 337,5 3247,93125 3246,24375 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-17 9,6355 9,6305 337,27 337,27 3249,765085 3248,078735 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-18 9,6085 9,6035 335,95 335,95 3227,975575 3226,295825 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-21 9,5915 9,5865 336,31 336,31 3225,717365 3224,035815 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-22 9,5585 9,5535 336,35 336,35 3215,001475 3213,319725 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-23 9,5155 9,5105 336,38 336,38 3200,82389 3199,14199 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-24 9,5125 9,5075 337,73 337,73 3212,656625 3210,967975 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-25 9,4965 9,4915 337,62 337,62 3206,20833 3204,52023 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-28 9,4835 9,4785 337,63 337,63 3201,914105 3200,225955 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-29 9,4785 9,4735 337,01 337,01 3194,349285 3192,664235 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-11-30 9,5295 9,5245 337,22 337,22 3213,53799 3211,85189 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-01 9,5165 9,5115 337,81 337,81 3214,768865 3213,079815 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-02 9,4905 9,4855 338,25 338,25 3210,161625 3208,470375 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-05 9,4065 9,4015 337,95 337,95 3178,926675 3177,236925 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-06 9,4185 9,4135 338,38 338,38 3187,03203 3185,34013 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-07 9,4255 9,4205 337,96 337,96 3185,44198 3183,75218 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-08 9,3965 9,3915 338,36 338,36 3179,39974 3177,70794 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-12 9,4315 9,4265 337,38 337,38 3181,99947 3180,31257 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-13 9,4295 9,4245 337,57 337,57 3183,116315 3181,428465 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-14 9,4365 9,4315 337,88 337,88 3188,40462 3186,71522 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-15 9,4345 9,4295 337,8 337,8 3186,9741 3185,2851 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-16 9,4765 9,4715 338,15 338,15 3204,478475 3202,787725 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-19 9,4535 9,4485 338,08 338,08 3196,03928 3194,34888 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-20 9,4015 9,3965 337,85 337,85 3176,296775 3174,607525 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-21 9,4485 9,4435 337,07 337,07 3184,805895 3183,120545 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-22 9,4365 9,4315 337,34 337,34 3183,30891 3181,62221 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-23 9,4425 9,4375 337,58 337,58 3187,59915 3185,91125 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-27 9,4915 9,4865 337,75 337,75 3205,754125 3204,065375 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-28 9,4345 9,4295 338,05 338,05 3189,332725 3187,642475 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-29 9,4115 9,4065 337,95 337,95 3180,616425 3178,926675 187427 Finter Fund Management Company S.A Finter Fund EUR Bonds EUR 2005-12-30 9,4325 9,4275 338,49 338,49 3192,806925 3191,114475 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-03 9,0065 9,0015 857,49 857,49 7722,983685 7718,696235 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-04 9,0345 9,0295 860,01 860,01 7769,760345 7765,460295 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-05 9,0615 9,0565 855,55 855,55 7752,566325 7748,288575 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-07 9,0615 9,0565 864,41 864,41 7832,851215 7828,529165 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-10 9,08619 9,08119 865,21 865,21 7861,4624499 7857,1363999 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-11 9,08619 9,08119 856,09 856,09 7778,5963971 7774,3159471 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-12 9,0455 9,0405 852,84 852,84 7714,36422 7710,10002 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-13 9,0505 9,0455 856,47 856,47 7751,481735 7747,199385 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-14 9,0455 9,0405 859,05 859,05 7770,536775 7766,241525 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-17 9,0685 9,0635 863,11 863,11 7827,113035 7822,797485 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-18 9,0585 9,0535 865,94 865,94 7844,11749 7839,78779 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-19 9,0225 9,0175 866,36 866,36 7816,7331 7812,4013 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-20 9,0315 9,0265 864,75 864,75 7809,989625 7805,665875 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-21 9,0505 9,0455 864,98 864,98 7828,50149 7824,17659 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-24 9,0655 9,0605 861,87 861,87 7813,282485 7808,973135 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-25 9,0715 9,0665 867,66 867,66 7870,97769 7866,63939 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-26 9,0885 9,0835 867,81 867,81 7887,091185 7882,752135 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-27 9,0675 9,0625 869,02 869,02 7879,83885 7875,49375 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-28 9,0955 9,0905 867,46 867,46 7889,98243 7885,64513 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-01-31 9,1075 9,1025 872,65 872,65 7947,659875 7943,296625 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-01 9,1035 9,0985 879,51 879,51 8006,619285 8002,221735 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-02 9,0905 9,0855 884,05 884,05 8036,456525 8032,036275 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-03 9,0695 9,0645 890,52 890,52 8076,57114 8072,11854 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-04 9,0895 9,0845 899,78 899,78 8178,55031 8174,05141 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-07 9,0755 9,0705 905,63 905,63 8219,045065 8214,516915 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-08 9,0895 9,0845 907,77 907,77 8251,175415 8246,636565 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-09 9,0695 9,0645 907,5 907,5 8230,57125 8226,03375 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-10 9,0805 9,0755 905,07 905,07 8218,488135 8213,962785 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-11 9,0935 9,0885 910,98 910,98 8283,99663 8279,44173 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-14 9,1105 9,1055 913,09 913,09 8318,706445 8314,140995 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-15 9,0765 9,0715 916,91 916,91 8322,333615 8317,749065 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-16 9,0705 9,0655 913,02 913,02 8281,54791 8276,98281 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-17 9,0925 9,0875 914,77 914,77 8317,546225 8312,972375 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-18 9,0945 9,0895 915,25 915,25 8323,741125 8319,164875 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-21 9,1185 9,1135 909,77 909,77 8295,737745 8291,188895 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-22 9,0975 9,0925 903,03 903,03 8215,315425 8210,800275 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-23 9,1045 9,0995 899,62 899,62 8190,59029 8186,09219 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-24 9,0715 9,0665 902,49 902,49 8186,938035 8182,425585 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-25 9,0845 9,0795 914,12 914,12 8304,32314 8299,75254 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-02-28 9,0505 9,0455 915,1 915,1 8282,11255 8277,53705 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-01 9,0565 9,0515 922,29 922,29 8352,719385 8348,107935 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-02 9,0645 9,0595 920,64 920,64 8345,14128 8340,53808 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-03 9,0675 9,0625 921,11 921,11 8352,164925 8347,559375 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-04 9,0415 9,0365 927,82 927,82 8388,88453 8384,24543 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-07 9,0425 9,0375 930,04 930,04 8409,8867 8405,2365 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-08 9,0345 9,0295 930,04 930,04 8402,44638 8397,79618 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-09 9,0365 9,0315 919,79 919,79 8311,682335 8307,083385 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-10 9,0655 9,0605 912,53 912,53 8272,540715 8267,978065 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-11 9,0795 9,0745 913,73 913,73 8296,211535 8291,642885 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-14 9,0695 9,0645 914,49 914,49 8293,967055 8289,394605 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-15 9,1035 9,0985 918,34 918,34 8360,10819 8355,51649 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-16 9,0975 9,0925 908,5 908,5 8265,07875 8260,53625 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-17 9,1045 9,0995 906,42 906,42 8252,50089 8247,96879 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-18 9,1035 9,0985 906,07 906,07 8248,408245 8243,877895 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-21 9,1265 9,1215 905,03 905,03 8259,756295 8255,231145 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-22 9,1265 9,1215 907,98 907,98 8286,67947 8282,13957 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-23 9,1165 9,1115 904,3 904,3 8244,05095 8239,52945 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-24 9,1135 9,1085 911 911 8302,3985 8297,8435 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-29 9,1315 9,1265 909,65 909,65 8306,468975 8301,920725 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-30 9,1425 9,1375 907,24 907,24 8294,4417 8289,9055 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-03-31 9,1405 9,1355 912,21 912,21 8338,055505 8333,494455 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-01 9,1645 9,1595 918,18 918,18 8414,66061 8410,06971 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-04 9,1695 9,1645 913,75 913,75 8378,630625 8374,061875 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-05 9,1745 9,1695 919,51 919,51 8436,044495 8431,446945 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-06 9,1705 9,1655 925 925 8482,7125 8478,0875 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-07 9,1505 9,1455 924,81 924,81 8462,473905 8457,849855 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-08 9,1625 9,1575 926,19 926,19 8486,215875 8481,584925 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-11 9,1705 9,1655 923,48 923,48 8468,77334 8464,15594 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-12 9,1525 9,1475 921,54 921,54 8434,39485 8429,78715 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-13 9,1495 9,1445 928,35 928,35 8493,938325 8489,296575 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-14 9,1685 9,1635 922,94 922,94 8461,97539 8457,36069 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-15 9,1925 9,1875 906,18 906,18 8330,05965 8325,52875 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-18 9,1805 9,1755 885,64 885,64 8130,61802 8126,18982 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-19 9,2035 9,1985 892,52 892,52 8214,30782 8209,84522 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-20 9,1915 9,1865 890,8 890,8 8187,7882 8183,3342 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-21 9,1855 9,1805 886,41 886,41 8142,119055 8137,687005 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-22 9,1625 9,1575 891,99 891,99 8172,858375 8168,398425 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-25 9,1685 9,1635 892,5 892,5 8182,88625 8178,42375 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-26 9,1375 9,1325 890,98 890,98 8141,32975 8136,87485 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-27 9,1465 9,1415 877,18 877,18 8023,12687 8018,74097 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-28 9,1505 9,1455 872,56 872,56 7984,36028 7979,99748 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-04-29 9,1705 9,1655 875,72 875,72 8030,79026 8026,41166 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-02 9,1935 9,1885 880,52 880,52 8095,06062 8090,65802 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-03 9,2245 9,2195 883,35 883,35 8148,462075 8144,045325 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-04 9,1915 9,1865 884,51 884,51 8129,973665 8125,551115 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-06 9,1715 9,1665 890,22 890,22 8164,65273 8160,20163 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-09 9,1815 9,1765 888,08 888,08 8153,90652 8149,46612 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-10 9,1985 9,1935 883,36 883,36 8125,58696 8121,17016 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-11 9,2105 9,2055 883,75 883,75 8139,779375 8135,360625 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-12 9,2315 9,2265 886,77 886,77 8186,217255 8181,783405 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-13 9,2045 9,1995 885,89 885,89 8154,174505 8149,745055 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-17 9,2325 9,2275 884,24 884,24 8163,7458 8159,3246 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-18 9,2095 9,2045 895,27 895,27 8244,989065 8240,512715 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-19 9,1905 9,1855 900,43 900,43 8275,401915 8270,899765 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-20 9,1955 9,1905 901,02 901,02 8285,32941 8280,82431 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-23 9,1805 9,1755 905,41 905,41 8312,116505 8307,589455 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-24 9,1815 9,1765 904,76 904,76 8307,05394 8302,53014 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-25 9,1785 9,1735 905,33 905,33 8309,571405 8305,044755 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-26 9,1945 9,1895 913,38 913,38 8398,07241 8393,50551 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-27 9,1955 9,1905 913,89 913,89 8403,675495 8399,106045 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-30 9,1905 9,1855 919,04 919,04 8446,43712 8441,84192 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-05-31 9,1665 9,1615 920,34 920,34 8436,29661 8431,69491 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-01 9,1455 9,1405 929,53 929,53 8501,016615 8496,368965 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-02 9,1565 9,1515 930,77 930,77 8522,595505 8517,941655 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-03 9,1315 9,1265 924,22 924,22 8439,51493 8434,89383 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-07 9,1455 9,1405 931,56 931,56 8519,58198 8514,92418 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-08 9,1455 9,1405 932,88 932,88 8531,65404 8526,98964 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-09 9,1965 9,1915 936,06 936,06 8608,47579 8603,79549 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-10 9,1975 9,1925 941,45 941,45 8658,986375 8654,279125 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-13 9,2365 9,2315 943,25 943,25 8712,328625 8707,612375 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-14 9,2985 9,2935 943,8 943,8 8775,9243 8771,2053 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-15 9,2695 9,2645 942,83 942,83 8739,562685 8734,848535 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-16 9,2695 9,2645 949,01 949,01 8796,848195 8792,103145 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-17 9,2695 9,2645 951,35 951,35 8818,538825 8813,782075 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-20 9,2255 9,2205 948,94 948,94 8754,44597 8749,70127 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-21 9,2725 9,2675 951,88 951,88 8826,3073 8821,5479 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-22 9,2615 9,2565 951,82 951,82 8815,28093 8810,52183 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-27 9,3855 9,3805 937,55 937,55 8799,375525 8794,687775 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-28 9,3995 9,3945 948,6 948,6 8916,3657 8911,6227 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-29 9,4215 9,4165 948,6 948,6 8937,2349 8932,4919 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-06-30 9,4415 9,4365 947,65 947,65 8947,237475 8942,499225 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-01 9,4595 9,4545 954,1 954,1 9025,30895 9020,53845 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-04 9,4795 9,4745 955,46 955,46 9057,28307 9052,50577 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-05 9,4575 9,4525 951,71 951,71 9000,797325 8996,038775 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-06 9,4195 9,4145 957,76 957,76 9021,62032 9016,83152 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-07 9,3965 9,3915 940,03 940,03 8832,991895 8828,291745 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-08 9,4175 9,4125 952,2 952,2 8967,3435 8962,5825 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-11 9,4665 9,4615 959,25 959,25 9080,740125 9075,943875 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-12 9,4645 9,4595 955,75 955,75 9045,695875 9040,917125 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-13 9,3915 9,3865 959,6 959,6 9012,0834 9007,2854 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-14 9,3675 9,3625 960,9 960,9 9001,23075 8996,42625 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-15 9,4055 9,4005 958,88 958,88 9018,74584 9013,95144 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-18 9,3895 9,3845 957,88 957,88 8994,01426 8989,22486 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-19 9,4425 9,4375 963,2 963,2 9095,016 9090,2 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-20 9,4265 9,4215 963,09 963,09 9078,567885 9073,752435 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-21 9,4625 9,4575 967,24 967,24 9152,5085 9147,6723 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-22 9,4495 9,4445 968,15 968,15 9148,533425 9143,692675 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-25 9,4275 9,4225 970,55 970,55 9149,860125 9145,007375 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-26 9,4155 9,4105 972,91 972,91 9160,434105 9155,569555 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-27 9,4725 9,4675 981,08 981,08 9293,2803 9288,3749 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-28 9,4515 9,4465 983,56 983,56 9296,11734 9291,19954 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-07-29 9,3885 9,3835 982,69 982,69 9225,985065 9221,071615 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-01 9,3985 9,3935 985,03 985,03 9257,804455 9252,879305 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-02 9,3995 9,3945 990,78 990,78 9312,83661 9307,88271 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-03 9,3755 9,3705 993,69 993,69 9316,340595 9311,372145 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-04 9,3735 9,3685 987,1 987,1 9252,58185 9247,64635 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-05 9,3355 9,3305 981,16 981,16 9159,61918 9154,71338 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-08 9,3335 9,3285 985,82 985,82 9201,15097 9196,22187 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-09 9,3455 9,3405 995,59 995,59 9304,286345 9299,308395 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-10 9,3535 9,3485 1007,73 1007,73 9425,802555 9420,763905 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-11 9,3365 9,3315 1004,21 1004,21 9375,806665 9370,785615 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-12 9,3025 9,2975 1001,96 1001,96 9320,7329 9315,7231 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-16 9,2995 9,2945 998,12 998,12 9282,01694 9277,02634 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-17 9,3405 9,3355 996,72 996,72 9309,86316 9304,87956 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-18 9,3365 9,3315 992,05 992,05 9262,274825 9257,314575 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-19 9,3395 9,3345 998,74 998,74 9327,73223 9322,73853 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-22 9,3655 9,3605 1000,31 1000,31 9368,403305 9363,401755 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-23 9,3715 9,3665 994,61 994,61 9320,987615 9316,014565 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-24 9,3365 9,3315 991,19 991,19 9254,245435 9249,289485 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-25 9,3335 9,3285 984,54 984,54 9189,20409 9184,28139 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-26 9,3415 9,3365 979,21 979,21 9147,290215 9142,394165 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-29 9,3295 9,3245 981,33 981,33 9155,318235 9150,411585 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-30 9,3285 9,3235 983,07 983,07 9170,568495 9165,653145 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-08-31 9,3585 9,3535 993,15 993,15 9294,394275 9289,428525 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-01 9,3365 9,3315 999,49 999,49 9331,738385 9326,740935 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-02 9,3025 9,2975 998,6 998,6 9289,4765 9284,4835 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-05 9,2845 9,2795 1004,77 1004,77 9328,787065 9323,763215 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-06 9,3225 9,3175 1013,98 1013,98 9452,82855 9447,75865 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-07 9,3075 9,3025 1018,55 1018,55 9480,154125 9475,061375 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-08 9,3255 9,3205 1017,83 1017,83 9491,773665 9486,684515 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-09 9,3445 9,3395 1020,9 1020,9 9539,80005 9534,69555 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-12 9,3015 9,2965 1021,36 1021,36 9500,18004 9495,07324 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-13 9,3015 9,2965 1012,15 1012,15 9414,513225 9409,452475 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-14 9,3365 9,3315 1013,43 1013,43 9461,889195 9456,822045 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-15 9,3425 9,3375 1017,71 1017,71 9507,955675 9502,867125 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-16 9,3465 9,3415 1025,27 1025,27 9582,686055 9577,559705 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-19 9,3355 9,3305 1023 1023 9550,2165 9545,1015 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-20 9,3395 9,3345 1024,15 1024,15 9565,048925 9559,928175 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-21 9,3405 9,3355 1015,36 1015,36 9483,97008 9478,89328 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-22 9,3405 9,3355 1011,75 1011,75 9450,250875 9445,192125 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-23 9,3695 9,3645 1016 1016 9519,412 9514,332 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-26 9,3815 9,3765 1025,98 1025,98 9625,23137 9620,10147 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-27 9,3885 9,3835 1025,62 1025,62 9629,03337 9623,90527 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-28 9,3935 9,3885 1035,26 1035,26 9724,71481 9719,53851 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-29 9,3845 9,3795 1033,75 1033,75 9701,226875 9696,058125 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-09-30 9,3435 9,3385 1034,39 1034,39 9664,822965 9659,651015 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-03 9,3025 9,2975 1037,28 1037,28 9649,2972 9644,1108 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-04 9,3185 9,3135 1042,38 1042,38 9713,41803 9708,20613 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-05 9,3105 9,3055 1035,39 1035,39 9639,998595 9634,821645 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-06 9,3015 9,2965 1024,45 1024,45 9528,921675 9523,799425 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-07 9,3385 9,3335 1022,08 1022,08 9544,69408 9539,58368 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-10 9,3465 9,3415 1022,53 1022,53 9557,076645 9551,963995 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-11 9,3395 9,3345 1028,75 1028,75 9608,010625 9602,866875 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-12 9,3375 9,3325 1022,81 1022,81 9550,488375 9545,374325 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-13 9,3815 9,3765 1008,37 1008,37 9460,023155 9454,981305 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-14 9,4135 9,4085 1006,8 1006,8 9477,5118 9472,4778 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-17 9,4575 9,4525 1006,85 1006,85 9522,283875 9517,249625 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-18 9,4625 9,4575 1001,34 1001,34 9475,17975 9470,17305 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-19 9,4605 9,4555 982,42 982,42 9294,18441 9289,27231 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-20 9,4935 9,4885 984,71 984,71 9348,344385 9343,420835 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-21 9,4915 9,4865 979,43 979,43 9296,259845 9291,362695 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-24 9,5455 9,5405 992,04 992,04 9469,51782 9464,55762 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-25 9,5465 9,5415 988,75 988,75 9439,101875 9434,158125 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-26 9,4975 9,4925 994,69 994,69 9447,068275 9442,094825 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-27 9,5355 9,5305 981,22 981,22 9356,42331 9351,51721 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-28 9,5135 9,5085 979,25 979,25 9316,094875 9311,198625 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-10-31 9,5495 9,5445 1000,99 1000,99 9558,954005 9553,949055 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-02 9,5855 9,5805 1008,94 1008,94 9671,19437 9666,14967 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-03 9,6515 9,6465 1023,74 1023,74 9880,62661 9875,50791 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-04 9,5875 9,5825 1022,2 1022,2 9800,3425 9795,2315 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-07 9,6075 9,6025 1024,88 1024,88 9846,5346 9841,4102 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-08 9,5685 9,5635 1023,52 1023,52 9793,55112 9788,43352 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-09 9,5575 9,5525 1019,4 1019,4 9742,9155 9737,8185 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-10 9,6105 9,6055 1017,04 1017,04 9774,26292 9769,17772 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-11 9,6365 9,6315 1022,25 1022,25 9850,912125 9845,800875 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-14 9,5505 9,5455 1025,63 1025,63 9795,279315 9790,151165 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-15 9,5805 9,5755 1024,53 1024,53 9815,509665 9810,387015 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-16 9,6235 9,6185 1018,58 1018,58 9802,30463 9797,21173 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-17 9,6355 9,6305 1025,93 1025,93 9885,348515 9880,218865 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-18 9,6085 9,6035 1029,54 1029,54 9892,33509 9887,18739 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-21 9,5915 9,5865 1037,55 1037,55 9951,660825 9946,473075 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-22 9,5585 9,5535 1042,99 1042,99 9969,419915 9964,204965 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-23 9,5155 9,5105 1048,95 1048,95 9981,283725 9976,038975 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-24 9,5125 9,5075 1049,24 1049,24 9980,8955 9975,6493 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-25 9,4965 9,4915 1052,49 1052,49 9994,971285 9989,708835 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-28 9,4835 9,4785 1048,34 1048,34 9941,93239 9936,69069 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-29 9,4785 9,4735 1052,63 1052,63 9977,353455 9972,090305 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-11-30 9,5295 9,5245 1050,69 1050,69 10012,550355 10007,296905 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-01 9,5165 9,5115 1065,39 1065,39 10138,783935 10133,456985 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-02 9,4905 9,4855 1076,88 1076,88 10220,12964 10214,74524 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-05 9,4065 9,4015 1078,11 1078,11 10141,241715 10135,851165 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-06 9,4185 9,4135 1084,25 1084,25 10212,008625 10206,587375 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-07 9,4255 9,4205 1084,83 1084,83 10225,065165 10219,641015 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-08 9,3965 9,3915 1080,94 1080,94 10157,05271 10151,64801 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-12 9,4315 9,4265 1083,34 1083,34 10217,52121 10212,10451 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-13 9,4295 9,4245 1084,86 1084,86 10229,68737 10224,26307 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-14 9,4365 9,4315 1083,4 1083,4 10223,5041 10218,0871 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-15 9,4345 9,4295 1081,46 1081,46 10203,03437 10197,62707 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-16 9,4765 9,4715 1086,35 1086,35 10294,795775 10289,364025 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-19 9,4535 9,4485 1081,82 1081,82 10226,98537 10221,57627 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-20 9,4015 9,3965 1085,51 1085,51 10205,422265 10199,994715 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-21 9,4485 9,4435 1094,78 1094,78 10344,02883 10338,55493 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-22 9,4365 9,4315 1102,06 1102,06 10399,58919 10394,07889 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-23 9,4425 9,4375 1107,88 1107,88 10461,1569 10455,6175 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-27 9,4915 9,4865 1110,61 1110,61 10541,354815 10535,801765 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-28 9,4345 9,4295 1112,02 1112,02 10491,35269 10485,79259 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-29 9,4115 9,4065 1118,59 1118,59 10527,609785 10522,016835 115766 Finter Fund Management Company S.A Finter Fund European Equities EUR 2005-12-30 9,4325 9,4275 1116,17 1116,17 10528,273525 10522,692675 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-03 6,668 6,658 1364,39 1364,39 9097,75252 9084,10862 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-04 6,728 6,718 1361,89 1361,89 9162,79592 9149,17702 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-05 6,828 6,818 1361,03 1361,03 9293,11284 9279,50254 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-07 6,87 6,86 1361,35 1361,35 9352,4745 9338,861 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-10 6,96091 6,95091 1361,18 1361,18 9475,0514738 9461,4396738 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-11 6,96091 6,95091 1361,29 1361,29 9475,8171739 9462,2042739 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-12 6,913 6,903 1361,85 1361,85 9414,46905 9400,85055 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-13 6,843 6,833 1363,42 1363,42 9329,88306 9316,24886 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-14 6,915 6,905 1361,78 1361,78 9416,7087 9403,0909 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-17 6,915 6,905 1361,87 1361,87 9417,33105 9403,71235 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-18 6,968 6,958 1362,04 1362,04 9490,69472 9477,07432 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-19 6,91 6,9 1362,25 1362,25 9413,1475 9399,525 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-20 6,96 6,95 1363,34 1363,34 9488,8464 9475,213 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-21 6,978 6,968 1365,07 1365,07 9525,45846 9511,80776 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-24 6,933 6,923 1365,7 1365,7 9468,3981 9454,7411 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-25 6,95 6,94 1363,64 1363,64 9477,298 9463,6616 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-26 6,995 6,985 1363,32 1363,32 9536,4234 9522,7902 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-27 6,93 6,92 1363,02 1363,02 9445,7286 9432,0984 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-28 6,985 6,975 1364,86 1364,86 9533,5471 9519,8985 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-01-31 6,998 6,988 1364,54 1364,54 9549,05092 9535,40552 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-01 6,993 6,983 1364,67 1364,67 9543,13731 9529,49061 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-02 6,953 6,943 1364,01 1364,01 9483,96153 9470,32143 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-03 6,968 6,958 1362,69 1362,69 9495,22392 9481,59702 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-04 7,01 7 1365,85 1365,85 9574,6085 9560,95 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-07 7,065 7,055 1366,34 1366,34 9653,1921 9639,5287 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-08 7,123 7,113 1366,08 1366,08 9730,58784 9716,92704 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-09 7,1 7,09 1368,35 1368,35 9715,285 9701,6015 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-10 7,088 7,078 1367,46 1367,46 9692,55648 9678,88188 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-11 7,068 7,058 1365,99 1365,99 9654,81732 9641,15742 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-14 7,03 7,02 1365,68 1365,68 9600,7304 9587,0736 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-15 7,005 6,995 1365,85 1365,85 9567,77925 9554,12075 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-16 6,973 6,963 1363,79 1363,79 9509,70767 9496,06977 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-17 6,97 6,96 1363,59 1363,59 9504,2223 9490,5864 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-18 6,965 6,955 1360,72 1360,72 9477,4148 9463,8076 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-21 6,978 6,968 1360,97 1360,97 9496,84866 9483,23896 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-22 6,905 6,895 1361,26 1361,26 9399,5003 9385,8877 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-23 6,895 6,885 1361,49 1361,49 9387,47355 9373,85865 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-24 6,858 6,848 1360,54 1360,54 9330,58332 9316,97792 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-25 6,885 6,875 1359,6 1359,6 9360,846 9347,25 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-02-28 6,828 6,818 1357,46 1357,46 9268,73688 9255,16228 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-01 6,87 6,86 1357,56 1357,56 9326,4372 9312,8616 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-02 6,888 6,878 1357,78 1357,78 9352,38864 9338,81084 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-03 6,903 6,893 1357,44 1357,44 9370,40832 9356,83392 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-04 6,9 6,89 1359,09 1359,09 9377,721 9364,1301 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-07 6,84 6,83 1359,14 1359,14 9296,5176 9282,9262 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-08 6,825 6,815 1359,14 1359,14 9276,1305 9262,5391 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-09 6,76 6,75 1353,62 1353,62 9150,4712 9136,935 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-10 6,745 6,735 1353,98 1353,98 9132,5951 9119,0553 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-11 6,765 6,755 1351,82 1351,82 9145,0623 9131,5441 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-14 6,76 6,75 1351,52 1351,52 9136,2752 9122,76 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-15 6,815 6,805 1351,36 1351,36 9209,5184 9196,0048 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-16 6,81 6,8 1351,74 1351,74 9205,3494 9191,832 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-17 6,795 6,785 1353,36 1353,36 9196,0812 9182,5476 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-18 6,828 6,818 1351,55 1351,55 9228,3834 9214,8679 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-21 6,908 6,898 1351,65 1351,65 9337,1982 9323,6817 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-22 6,928 6,918 1349,18 1349,18 9347,11904 9333,62724 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-23 6,973 6,963 1345,94 1345,94 9385,23962 9371,78022 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-24 7,008 6,998 1346,19 1346,19 9434,09952 9420,63762 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-29 7,055 7,045 1347,19 1347,19 9504,42545 9490,95355 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-30 7,053 7,043 1348,04 1348,04 9507,72612 9494,24572 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-03-31 7,065 7,055 1350,38 1350,38 9540,4347 9526,9309 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-01 7,07 7,06 1349,29 1349,29 9539,4803 9525,9874 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-04 7,113 7,103 1348,81 1348,81 9594,08553 9580,59743 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-05 7,163 7,153 1348,52 1348,52 9659,44876 9645,96356 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-06 7,125 7,115 1349,94 1349,94 9618,3225 9604,8231 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-07 7,083 7,073 1349,29 1349,29 9557,02107 9543,52817 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-08 7,153 7,143 1348,28 1348,28 9644,24684 9630,76404 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-11 7,098 7,088 1349 1349 9575,202 9561,712 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-12 7,048 7,038 1352,72 1352,72 9533,97056 9520,44336 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-13 7,075 7,065 1353,13 1353,13 9573,39475 9559,86345 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-14 7,12 7,11 1354,37 1354,37 9643,1144 9629,5707 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-15 7,17 7,16 1356,88 1356,88 9728,8296 9715,2608 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-18 7,08 7,07 1358,39 1358,39 9617,4012 9603,8173 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-19 7,068 7,058 1359,16 1359,16 9606,54288 9592,95128 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-20 7,043 7,033 1359,07 1359,07 9571,93001 9558,33931 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-21 7,025 7,015 1356,22 1356,22 9527,4455 9513,8833 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-22 7,023 7,013 1356,86 1356,86 9529,22778 9515,65918 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-25 7,04 7,03 1357 1357 9553,28 9539,71 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-26 7,035 7,025 1355,77 1355,77 9537,84195 9524,28425 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-27 7,085 7,075 1357,03 1357,03 9614,55755 9600,98725 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-28 7,085 7,075 1358,61 1358,61 9625,75185 9612,16575 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-04-29 7,08 7,07 1357,32 1357,32 9609,8256 9596,2524 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-02 7,15 7,14 1358,1 1358,1 9710,415 9696,834 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-03 7,178 7,168 1357,75 1357,75 9745,9295 9732,352 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-04 7,11 7,1 1359,09 1359,09 9663,1299 9649,539 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-06 7,085 7,075 1355,79 1355,79 9605,77215 9592,21425 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-09 7,168 7,158 1356,04 1356,04 9720,09472 9706,53432 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-10 7,178 7,168 1357,92 1357,92 9747,14976 9733,57056 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-11 7,15 7,14 1358,9 1358,9 9716,135 9702,546 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-12 7,243 7,233 1358,91 1358,91 9842,58513 9828,99603 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-13 7,265 7,255 1361 1361 9887,665 9874,055 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-17 7,313 7,303 1361,89 1361,89 9959,50157 9945,88267 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-18 7,3 7,29 1362,41 1362,41 9945,593 9931,9689 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-19 7,26 7,25 1360,54 1360,54 9877,5204 9863,915 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-20 7,28 7,27 1359,15 1359,15 9894,612 9881,0205 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-23 7,32 7,31 1361,53 1361,53 9966,3996 9952,7843 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-24 7,295 7,285 1362,51 1362,51 9939,51045 9925,88535 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-25 7,298 7,288 1362,5 1362,5 9943,525 9929,9 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-26 7,33 7,32 1361,74 1361,74 9981,5542 9967,9368 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-27 7,338 7,328 1361,6 1361,6 9991,4208 9977,8048 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-30 7,338 7,328 1362,02 1362,02 9994,50276 9980,88256 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-05-31 7,403 7,393 1363,61 1363,61 10094,80483 10081,16873 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-01 7,428 7,418 1367,09 1367,09 10154,74452 10141,07362 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-02 7,473 7,463 1366,91 1366,91 10214,91843 10201,24933 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-03 7,438 7,428 1362,85 1362,85 10136,8783 10123,2498 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-07 7,448 7,438 1364,44 1364,44 10162,34912 10148,70472 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-08 7,435 7,425 1363,55 1363,55 10137,99425 10124,35875 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-09 7,523 7,513 1361,09 1361,09 10239,48007 10225,86917 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-10 7,525 7,515 1358,12 1358,12 10219,853 10206,2718 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-13 7,643 7,633 1358,01 1358,01 10379,27043 10365,69033 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-14 7,663 7,653 1356,58 1356,58 10395,47254 10381,90674 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-15 7,693 7,683 1355,97 1355,97 10431,47721 10417,91751 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-16 7,678 7,668 1356,37 1356,37 10414,20886 10400,64516 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-17 7,643 7,633 1356,65 1356,65 10368,87595 10355,30945 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-20 7,543 7,533 1356,28 1356,28 10230,42004 10216,85724 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-21 7,648 7,638 1358,2 1358,2 10387,5136 10373,9316 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-22 7,608 7,598 1362,35 1362,35 10364,7588 10351,1353 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-27 7,73 7,72 1365,17 1365,17 10552,7641 10539,1124 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-28 7,76 7,75 1361,93 1361,93 10568,5768 10554,9575 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-29 7,833 7,823 1361,93 1361,93 10667,99769 10654,37839 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-06-30 7,823 7,813 1363,14 1363,14 10663,84422 10650,21282 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-01 7,858 7,848 1359,8 1359,8 10685,3084 10671,7104 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-04 7,945 7,935 1359,59 1359,59 10801,94255 10788,34665 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-05 7,963 7,953 1358,2 1358,2 10815,3466 10801,7646 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-06 7,895 7,885 1358,31 1358,31 10723,85745 10710,27435 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-07 7,878 7,868 1360,09 1360,09 10714,78902 10701,18812 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-08 7,913 7,903 1358,04 1358,04 10746,17052 10732,59012 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-11 7,89 7,88 1357,08 1357,08 10707,3612 10693,7904 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-12 7,77 7,76 1355,91 1355,91 10535,4207 10521,8616 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-13 7,703 7,693 1355,37 1355,37 10440,41511 10426,86141 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-14 7,76 7,75 1354,28 1354,28 10509,2128 10495,67 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-15 7,76 7,75 1354,3 1354,3 10509,368 10495,825 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-18 7,78 7,77 1353,71 1353,71 10531,8638 10518,3267 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-19 7,878 7,868 1354,59 1354,59 10671,46002 10657,91412 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-20 7,818 7,808 1354,58 1354,58 10590,10644 10576,56064 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-21 7,775 7,765 1351,08 1351,08 10504,647 10491,1362 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-22 7,758 7,748 1352,93 1352,93 10496,03094 10482,50164 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-25 7,838 7,828 1353,02 1353,02 10604,97076 10591,44056 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-26 7,818 7,808 1352,29 1352,29 10572,20322 10558,68032 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-27 7,905 7,895 1351,6 1351,6 10684,398 10670,882 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-28 7,848 7,838 1353,19 1353,19 10619,83512 10606,30322 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-07-29 7,748 7,738 1349,8 1349,8 10458,2504 10444,7524 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-01 7,72 7,71 1349,06 1349,06 10414,7432 10401,2526 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-02 7,7 7,69 1349,11 1349,11 10388,147 10374,6559 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-03 7,685 7,675 1350,24 1350,24 10376,5944 10363,092 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-04 7,618 7,608 1349,94 1349,94 10283,84292 10270,34352 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-05 7,548 7,538 1345,83 1345,83 10158,32484 10144,86654 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-08 7,558 7,548 1345,69 1345,69 10170,72502 10157,26812 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-09 7,548 7,538 1346,04 1346,04 10159,90992 10146,44952 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-10 7,558 7,548 1346,37 1346,37 10175,86446 10162,40076 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-11 7,523 7,513 1348,55 1348,55 10145,14165 10131,65615 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-12 7,46 7,45 1351,56 1351,56 10082,6376 10069,122 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-16 7,523 7,513 1353,43 1353,43 10181,85389 10168,31959 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-17 7,605 7,595 1352,04 1352,04 10282,2642 10268,7438 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-18 7,61 7,6 1354,22 1354,22 10305,6142 10292,072 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-19 7,698 7,688 1354,26 1354,26 10425,09348 10411,55088 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-22 7,69 7,68 1354,95 1354,95 10419,5655 10406,016 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-23 7,663 7,653 1356,6 1356,6 10395,6258 10382,0598 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-24 7,673 7,663 1356,5 1356,5 10408,4245 10394,8595 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-25 7,588 7,578 1356,87 1356,87 10295,92956 10282,36086 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-26 7,578 7,568 1355,23 1355,23 10269,93294 10256,38064 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-29 7,573 7,563 1356,13 1356,13 10269,97249 10256,41119 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-30 7,633 7,623 1359,76 1359,76 10379,04808 10365,45048 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-08-31 7,668 7,658 1365,06 1365,06 10467,28008 10453,62948 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-01 7,568 7,558 1367,31 1367,31 10347,80208 10334,12898 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-02 7,435 7,425 1366,78 1366,78 10162,0093 10148,3415 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-05 7,41 7,4 1367,02 1367,02 10129,6182 10115,948 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-06 7,485 7,475 1364,79 1364,79 10215,45315 10201,80525 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-07 7,43 7,42 1362,59 1362,59 10124,0437 10110,4178 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-08 7,498 7,488 1362,72 1362,72 10217,67456 10204,04736 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-09 7,523 7,513 1362,97 1362,97 10253,62331 10239,99361 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-12 7,555 7,545 1361,39 1361,39 10285,30145 10271,68755 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-13 7,57 7,56 1363,25 1363,25 10319,8025 10306,17 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-14 7,61 7,6 1362,25 1362,25 10366,7225 10353,1 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-15 7,658 7,648 1360,95 1360,95 10422,1551 10408,5456 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-16 7,613 7,603 1358,6 1358,6 10343,0218 10329,4358 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-19 7,698 7,688 1360,39 1360,39 10472,28222 10458,67832 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-20 7,688 7,678 1358,06 1358,06 10440,76528 10427,18468 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-21 7,663 7,653 1361,03 1361,03 10429,57289 10415,96259 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-22 7,648 7,638 1361,53 1361,53 10412,98144 10399,36614 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-23 7,733 7,723 1358,48 1358,48 10505,12584 10491,54104 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-26 7,798 7,788 1356,89 1356,89 10581,02822 10567,45932 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-27 7,825 7,815 1356,11 1356,11 10611,56075 10597,99965 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-28 7,81 7,8 1356,91 1356,91 10597,4671 10583,898 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-29 7,785 7,775 1354,75 1354,75 10546,72875 10533,18125 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-09-30 7,785 7,775 1352,45 1352,45 10528,82325 10515,29875 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-03 7,783 7,773 1349,69 1349,69 10504,63727 10491,14037 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-04 7,82 7,81 1349,71 1349,71 10554,7322 10541,2351 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-05 7,795 7,785 1350,13 1350,13 10524,26335 10510,76205 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-06 7,713 7,703 1350,95 1350,95 10419,87735 10406,36785 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-07 7,683 7,673 1351,2 1351,2 10381,2696 10367,7576 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-10 7,698 7,688 1351,72 1351,72 10405,54056 10392,02336 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-11 7,77 7,76 1351,04 1351,04 10497,5808 10484,0704 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-12 7,805 7,795 1348,87 1348,87 10527,93035 10514,44165 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-13 7,83 7,82 1346,94 1346,94 10546,5402 10533,0708 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-14 7,833 7,823 1346,25 1346,25 10545,17625 10531,71375 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-17 7,835 7,825 1346,67 1346,67 10551,15945 10537,69275 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-18 7,893 7,883 1347,37 1347,37 10634,79141 10621,31771 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-19 7,96 7,95 1348,85 1348,85 10736,846 10723,3575 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-20 7,93 7,92 1348,43 1348,43 10693,0499 10679,5656 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-21 7,883 7,873 1350,81 1350,81 10648,43523 10634,92713 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-24 7,995 7,985 1349 1349 10785,255 10771,765 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-25 7,99 7,98 1346,93 1346,93 10761,9707 10748,5014 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-26 7,868 7,858 1343,17 1343,17 10568,06156 10554,62986 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-27 7,868 7,858 1343,8 1343,8 10573,0184 10559,5804 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-28 7,825 7,815 1342,08 1342,08 10501,776 10488,3552 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-10-31 7,905 7,895 1342,84 1342,84 10615,1502 10601,7218 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-02 7,98 7,97 1338,57 1338,57 10681,7886 10668,4029 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-03 8,01 8 1338 1338 10717,38 10704 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-04 8,028 8,018 1336,27 1336,27 10727,57556 10714,21286 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-07 8,135 8,125 1337,21 1337,21 10878,20335 10864,83125 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-08 8,17 8,16 1340,7 1340,7 10953,519 10940,112 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-09 8,12 8,11 1338,1 1338,1 10865,372 10851,991 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-10 8,173 8,163 1340,58 1340,58 10956,56034 10943,15454 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-11 8,235 8,225 1340,44 1340,44 11038,5234 11025,119 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-14 8,133 8,123 1339,39 1339,39 10893,25887 10879,86497 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-15 8,185 8,175 1341,24 1341,24 10978,0494 10964,637 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-16 8,21 8,2 1343,93 1343,93 11033,6653 11020,226 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-17 8,258 8,248 1345,28 1345,28 11109,32224 11095,86944 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-18 8,223 8,213 1344,04 1344,04 11052,04092 11038,60052 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-21 8,123 8,113 1347,03 1347,03 10941,92469 10928,45439 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-22 8,15 8,14 1348,72 1348,72 10992,068 10978,5808 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-23 8,048 8,038 1347,09 1347,09 10841,38032 10827,90942 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-24 8,053 8,043 1348,18 1348,18 10856,89354 10843,41174 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-25 8,078 8,068 1349,74 1349,74 10903,19972 10889,70232 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-28 8,118 8,108 1351,19 1351,19 10968,96042 10955,44852 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-29 8,015 8,005 1347,28 1347,28 10798,4492 10784,9764 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-11-30 8,088 8,078 1345,44 1345,44 10881,91872 10868,46432 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-01 8,083 8,073 1344,75 1344,75 10869,61425 10856,16675 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-02 8,103 8,093 1344,65 1344,65 10895,69895 10882,25245 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-05 8,045 8,035 1342,88 1342,88 10803,4696 10790,0408 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-06 7,993 7,983 1346,3 1346,3 10760,9759 10747,5129 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-07 8,015 8,005 1345,18 1345,18 10781,6177 10768,1659 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-08 7,988 7,978 1347,84 1347,84 10766,54592 10753,06752 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-12 7,953 7,943 1344,81 1344,81 10695,27393 10681,82583 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-13 7,905 7,895 1346,01 1346,01 10640,20905 10626,74895 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-14 7,848 7,838 1349,2 1349,2 10588,5216 10575,0296 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-15 7,858 7,848 1349,14 1349,14 10601,54212 10588,05072 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-16 7,903 7,893 1350,15 1350,15 10670,23545 10656,73395 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-19 7,865 7,855 1350,67 1350,67 10623,01955 10609,51285 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-20 7,848 7,838 1349,65 1349,65 10592,0532 10578,5567 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-21 7,948 7,938 1348,62 1348,62 10718,83176 10705,34556 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-22 7,98 7,97 1350,95 1350,95 10780,581 10767,0715 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-23 7,955 7,945 1352,57 1352,57 10759,69435 10746,16865 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-27 8,01 8 1354,44 1354,44 10849,0644 10835,52 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-28 7,915 7,905 1353,48 1353,48 10712,7942 10699,2594 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-29 7,938 7,928 1353,59 1353,59 10744,79742 10731,26152 259085 Finter Fund Management Company S.A Finter Fund USD Bonds USD 2005-12-30 7,958 7,948 1353,2 1353,2 10768,7656 10755,2336 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-03 5,84 5,834 338,02 338,02 1974,0368 1972,00868 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-04 5,847 5,841 338,02 338,02 1976,40294 1974,37482 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-05 5,8385 5,8325 337,37 337,37 1969,734745 1967,710525 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-07 5,8555 5,8495 338,34 338,34 1981,14987 1979,11983 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-10 5,8755 5,8695 338,85 338,85 1990,913175 1988,880075 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-11 5,8755 5,8695 338,44 338,44 1988,50422 1986,47358 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-12 5,8405 5,8345 337,84 337,84 1973,15452 1971,12748 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-13 5,8485 5,8425 338,6 338,6 1980,3021 1978,2705 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-14 5,836 5,83 339,62 339,62 1982,02232 1979,9846 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-17 5,862 5,856 339,94 339,94 1992,72828 1990,68864 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-18 5,857 5,851 340,05 340,05 1991,67285 1989,63255 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-19 5,847 5,841 339,94 339,94 1987,62918 1985,58954 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-20 5,859 5,853 339,61 339,61 1989,77499 1987,73733 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-21 5,8545 5,8485 340,12 340,12 1991,23254 1989,19182 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-24 5,8665 5,8605 339,7 339,7 1992,85005 1990,81185 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-25 5,8755 5,8695 340,23 340,23 1999,021365 1996,979985 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-26 5,8665 5,8605 340,61 340,61 1998,188565 1996,144905 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-27 5,8615 5,8555 340,52 340,52 1995,95798 1993,91486 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-28 5,8845 5,8785 340,85 340,85 2005,731825 2003,686725 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-01-31 5,876 5,87 341,8 341,8 2008,4168 2006,366 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-01 5,8655 5,8595 342,71 342,71 2010,165505 2008,109245 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-02 5,8545 5,8485 344,31 344,31 2015,762895 2013,697035 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-03 5,828 5,822 344,45 344,45 2007,4546 2005,3879 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-04 5,8325 5,8265 345,32 345,32 2014,0789 2012,00698 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-07 5,828 5,822 346,47 346,47 2019,22716 2017,14834 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-08 5,823 5,817 345,76 345,76 2013,36048 2011,28592 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-09 5,825 5,819 345,37 345,37 2011,78025 2009,70803 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-10 5,8345 5,8285 345,4 345,4 2015,2363 2013,1639 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-11 5,848 5,842 345,95 345,95 2023,1156 2021,0399 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-14 5,8635 5,8575 345,88 345,88 2028,06738 2025,9921 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-15 5,8485 5,8425 345,51 345,51 2020,715235 2018,642175 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-16 5,864 5,858 345,01 345,01 2023,13864 2021,06858 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-17 5,8805 5,8745 344,5 344,5 2025,83225 2023,76525 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-18 5,884 5,878 344,33 344,33 2026,03772 2023,97174 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-21 5,907 5,901 344,01 344,01 2032,06707 2030,00301 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-22 5,9045 5,8985 342,24 342,24 2020,75608 2018,70264 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-23 5,9245 5,9185 342,37 342,37 2028,371065 2026,316845 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-24 5,8995 5,8935 343,34 343,34 2025,53433 2023,47429 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-25 5,8895 5,8835 344,8 344,8 2030,6996 2028,6308 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-02-28 5,8825 5,8765 343,9 343,9 2022,99175 2020,92835 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-01 5,8955 5,8895 344,41 344,41 2030,469155 2028,402695 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-02 5,9 5,894 344,86 344,86 2034,674 2032,60484 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-03 5,8745 5,8685 345,47 345,47 2029,463515 2027,390695 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-04 5,8395 5,8335 346,57 346,57 2023,795515 2021,716095 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-07 5,8425 5,8365 347,72 347,72 2031,5541 2029,46778 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-08 5,821 5,815 347,72 347,72 2024,07812 2021,9918 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-09 5,8295 5,8235 346,4 346,4 2019,3388 2017,2604 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-10 5,8525 5,8465 345,1 345,1 2019,69775 2017,62715 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-11 5,863 5,857 345,25 345,25 2024,20075 2022,12925 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-14 5,8525 5,8465 345,38 345,38 2021,33645 2019,26417 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-15 5,8725 5,8665 345,84 345,84 2030,9454 2028,87036 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-16 5,872 5,866 344,22 344,22 2021,25984 2019,19452 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-17 5,8875 5,8815 344,36 344,36 2027,4195 2025,35334 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-18 5,884 5,878 344,83 344,83 2028,97972 2026,91074 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-21 5,8845 5,8785 344,46 344,46 2026,97487 2024,90811 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-22 5,8835 5,8775 344,43 344,43 2026,453905 2024,387325 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-23 5,866 5,86 343,48 343,48 2014,85368 2012,7928 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-24 5,8705 5,8645 343,62 343,62 2017,22121 2015,15949 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-29 5,8865 5,8805 342,93 342,93 2018,657445 2016,599865 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-30 5,89 5,884 342,66 342,66 2018,2674 2016,21144 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-03-31 5,9005 5,8945 343,39 343,39 2026,172695 2024,112355 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-01 5,907 5,901 344,44 344,44 2034,60708 2032,54044 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-04 5,908 5,902 344,58 344,58 2035,77864 2033,71116 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-05 5,903 5,897 344,52 344,52 2033,70156 2031,63444 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-06 5,9165 5,9105 345,17 345,17 2042,198305 2040,127285 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-07 5,9045 5,8985 345,45 345,45 2039,709525 2037,636825 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-08 5,9055 5,8995 345,08 345,08 2037,86994 2035,79946 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-11 5,921 5,915 344,77 344,77 2041,38317 2039,31455 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-12 5,9115 5,9055 344,97 344,97 2039,290155 2037,220335 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-13 5,912 5,906 345,1 345,1 2040,2312 2038,1606 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-14 5,91 5,904 344,67 344,67 2036,9997 2034,93168 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-15 5,9175 5,9115 342,68 342,68 2027,8089 2025,75282 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-18 5,9335 5,9275 340,61 340,61 2021,009435 2018,965775 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-19 5,954 5,948 341,48 341,48 2033,17192 2031,12304 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-20 5,9545 5,9485 340,33 340,33 2026,494985 2024,453005 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-21 5,9585 5,9525 340,26 340,26 2027,43921 2025,39765 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-22 5,9355 5,9295 340,94 340,94 2023,64937 2021,60373 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-25 5,9415 5,9355 341,84 341,84 2031,04236 2028,99132 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-26 5,922 5,916 341,15 341,15 2020,2903 2018,2434 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-27 5,9275 5,9215 339,87 339,87 2014,579425 2012,540205 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-28 5,9365 5,9305 339,13 339,13 2013,245245 2011,210465 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-04-29 5,967 5,961 339,64 339,64 2026,63188 2024,59404 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-02 5,9745 5,9685 341,05 341,05 2037,603225 2035,556925 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-03 5,9855 5,9795 340,83 340,83 2040,037965 2037,992985 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-04 5,9595 5,9535 341,12 341,12 2032,90464 2030,85792 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-06 5,9265 5,9205 343,03 343,03 2032,967295 2030,909115 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-09 5,936 5,93 343,05 343,05 2036,3448 2034,2865 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-10 5,948 5,942 342,16 342,16 2035,16768 2033,11472 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-11 5,9655 5,9595 342,43 342,43 2042,766165 2040,711585 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-12 5,975 5,969 342,04 342,04 2043,689 2041,63676 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-13 5,963 5,957 341,66 341,66 2037,31858 2035,26862 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-17 5,9795 5,9735 341,65 341,65 2042,896175 2040,846275 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-18 5,9705 5,9645 342,41 342,41 2044,358905 2042,304445 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-19 5,9545 5,9485 343,1 343,1 2042,98895 2040,93035 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-20 5,95 5,944 343,69 343,69 2044,9555 2042,89336 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-23 5,9335 5,9275 344,17 344,17 2042,132695 2040,067675 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-24 5,9355 5,9295 344,52 344,52 2044,89846 2042,83134 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-25 5,9365 5,9305 344,2 344,2 2043,3433 2041,2781 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-26 5,9505 5,9445 345,26 345,26 2054,46963 2052,39807 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-27 5,9435 5,9375 345,64 345,64 2054,31134 2052,2375 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-30 5,948 5,942 346,15 346,15 2058,9002 2056,8233 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-05-31 5,9405 5,9345 346,27 346,27 2057,016935 2054,939315 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-01 5,9545 5,9485 347,39 347,39 2068,533755 2066,449415 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-02 5,9725 5,9665 347,62 347,62 2076,16045 2074,07473 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-03 5,952 5,946 347,26 347,26 2066,89152 2064,80796 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-07 5,9765 5,9705 347,79 347,79 2078,566935 2076,480195 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-08 5,972 5,966 348,07 348,07 2078,67404 2076,58562 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-09 6 5,994 348,37 348,37 2090,22 2088,12978 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-10 6,0005 5,9945 349,42 349,42 2096,69471 2094,59819 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-13 6,0095 6,0035 350,11 350,11 2103,986045 2101,885385 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-14 6,0395 6,0335 350,5 350,5 2116,84475 2114,74175 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-15 6,0305 6,0245 350,24 350,24 2112,12232 2110,02088 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-16 6,0275 6,0215 351,11 351,11 2116,315525 2114,208865 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-17 6,018 6,012 351,35 351,35 2114,4243 2112,3162 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-20 5,9755 5,9695 351,65 351,65 2101,284575 2099,174675 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-21 6,0145 6,0085 352,02 352,02 2117,22429 2115,11217 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-22 6,0125 6,0065 352,35 352,35 2118,504375 2116,390275 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-27 6,088 6,082 351,31 351,31 2138,77528 2136,66742 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-28 6,088 6,082 352,48 352,48 2145,89824 2143,78336 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-29 6,1025 6,0965 352,48 352,48 2151,0092 2148,89432 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-06-30 6,0985 6,0925 352,69 352,69 2150,879965 2148,763825 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-01 6,088 6,082 353,85 353,85 2154,2388 2152,1157 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-04 6,1215 6,1155 354,13 354,13 2167,806795 2165,682015 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-05 6,1015 6,0955 354,19 354,19 2161,090285 2158,965145 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-06 6,065 6,059 354,54 354,54 2150,2851 2148,15786 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-07 6,0495 6,0435 353,26 353,26 2137,04637 2134,92681 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-08 6,0695 6,0635 354,76 354,76 2153,21582 2151,08726 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-11 6,0875 6,0815 354,41 354,41 2157,470875 2155,344415 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-12 6,0845 6,0785 353,69 353,69 2152,026805 2149,904665 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-13 6,0295 6,0235 354,5 354,5 2137,45775 2135,33075 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-14 6,018 6,012 354,33 354,33 2132,35794 2130,23196 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-15 6,0335 6,0275 354,58 354,58 2139,35843 2137,23095 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-18 6,0195 6,0135 354,87 354,87 2136,139965 2134,010745 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-19 6,041 6,035 356,14 356,14 2151,44174 2149,3049 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-20 6,0265 6,0205 355,83 355,83 2144,409495 2142,274515 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-21 6,0565 6,0505 355,42 355,42 2152,60123 2150,46871 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-22 6,0435 6,0375 356,51 356,51 2154,568185 2152,429125 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-25 6,034 6,028 357,11 357,11 2154,80174 2152,65908 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-26 6,033 6,027 357 357 2153,781 2151,639 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-27 6,0625 6,0565 357,79 357,79 2169,101875 2166,955135 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-28 6,043 6,037 358,02 358,02 2163,51486 2161,36674 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-07-29 6,0195 6,0135 357,18 357,18 2150,04501 2147,90193 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-01 6,0205 6,0145 356,77 356,77 2147,933785 2145,793165 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-02 6,0355 6,0295 356,66 356,66 2152,62143 2150,48147 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-03 6,0235 6,0175 356,09 356,09 2144,908115 2142,771575 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-04 6,0225 6,0165 355,35 355,35 2140,095375 2137,963275 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-05 5,9925 5,9865 354,55 354,55 2124,640875 2122,513575 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-08 5,9815 5,9755 354,82 354,82 2122,35583 2120,22691 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-09 6,0055 5,9995 355,04 355,04 2132,19272 2130,06248 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-10 6,009 6,003 355,65 355,65 2137,10085 2134,96695 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-11 6,007 6,001 355,46 355,46 2135,24822 2133,11546 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-12 5,991 5,985 355,54 355,54 2130,04014 2127,9069 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-16 5,9945 5,9885 356,61 356,61 2137,698645 2135,558985 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-17 6,026 6,02 355,96 355,96 2145,01496 2142,8792 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-18 6,04 6,034 356,47 356,47 2153,0788 2150,93998 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-19 6,0375 6,0315 357,35 357,35 2157,500625 2155,356525 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-22 6,0385 6,0325 357,4 357,4 2158,1599 2156,0155 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-23 6,0305 6,0245 357,47 357,47 2155,722835 2153,578015 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-24 6,0035 5,9975 356,4 356,4 2139,6474 2137,509 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-25 6,025 6,019 355,45 355,45 2141,58625 2139,45355 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-26 6,044 6,038 354,63 354,63 2143,38372 2141,25594 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-29 6,0375 6,0315 355,28 355,28 2145,003 2142,87132 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-30 6,021 6,015 355,98 355,98 2143,35558 2141,2197 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-08-31 6,041 6,035 356,35 356,35 2152,71035 2150,57225 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-01 6,036 6,03 356,27 356,27 2150,44572 2148,3081 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-02 6,036 6,03 355,37 355,37 2145,01332 2142,8811 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-05 6,024 6,018 356,41 356,41 2147,01384 2144,87538 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-06 6,042 6,036 356,73 356,73 2155,36266 2153,22228 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-07 6,0325 6,0265 357,33 357,33 2155,593225 2153,449245 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-08 6,048 6,042 357,35 357,35 2161,2528 2159,1087 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-09 6,0625 6,0565 358,26 358,26 2171,95125 2169,80169 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-12 6,024 6,018 359,01 359,01 2162,67624 2160,52218 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-13 6,02 6,014 358,92 358,92 2160,6984 2158,54488 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-14 6,0365 6,0305 358,86 358,86 2166,25839 2164,10523 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-15 6,0485 6,0425 359,86 359,86 2176,61321 2174,45405 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-16 6,028 6,022 360,54 360,54 2173,33512 2171,17188 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-19 6,024 6,018 362,21 362,21 2181,95304 2179,77978 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-20 6,0185 6,0125 362,19 362,19 2179,840515 2177,667375 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-21 6,022 6,016 361,54 361,54 2177,19388 2175,02464 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-22 6,018 6,012 361,99 361,99 2178,45582 2176,28388 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-23 6,03 6,024 362,08 362,08 2183,3424 2181,16992 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-26 6,028 6,022 363,08 363,08 2188,64624 2186,46776 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-27 6,032 6,026 362,77 362,77 2188,22864 2186,05202 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-28 6,0405 6,0345 363,43 363,43 2195,298915 2193,118335 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-29 6,028 6,022 363,99 363,99 2194,13172 2191,94778 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-09-30 6,0005 5,9945 363,3 363,3 2179,98165 2177,80185 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-03 5,9875 5,9815 364,24 364,24 2180,887 2178,70156 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-04 6,0075 6,0015 364,09 364,09 2187,270675 2185,086135 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-05 6,004 5,998 362,25 362,25 2174,949 2172,7755 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-06 6,015 6,009 358,82 358,82 2158,3023 2156,14938 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-07 6,0285 6,0225 358,94 358,94 2163,86979 2161,71615 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-10 6,0325 6,0265 358,9 358,9 2165,06425 2162,91085 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-11 6,0365 6,0305 359,5 359,5 2170,12175 2167,96475 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-12 6,0345 6,0285 358,17 358,17 2161,376865 2159,227845 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-13 6,062 6,056 357,44 357,44 2166,80128 2164,65664 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-14 6,075 6,069 356,96 356,96 2168,532 2166,39024 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-17 6,1005 6,0945 357,31 357,31 2179,769655 2177,625795 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-18 6,088 6,082 356,79 356,79 2172,13752 2169,99678 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-19 6,0955 6,0895 355,61 355,61 2167,620755 2165,487095 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-20 6,1155 6,1095 354,8 354,8 2169,7794 2167,6506 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-21 6,1385 6,1325 354,16 354,16 2174,01116 2171,8862 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-24 6,185 6,179 355,03 355,03 2195,86055 2193,73037 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-25 6,1845 6,1785 354,91 354,91 2194,940895 2192,811435 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-26 6,1495 6,1435 354,42 354,42 2179,50579 2177,37927 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-27 6,162 6,156 352,83 352,83 2174,13846 2172,02148 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-28 6,1555 6,1495 352,75 352,75 2171,352625 2169,236125 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-10-31 6,1805 6,1745 355,1 355,1 2194,69555 2192,56495 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-02 6,1995 6,1935 355,52 355,52 2204,04624 2201,91312 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-03 6,2555 6,2495 356,93 356,93 2232,775615 2230,634035 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-04 6,213 6,207 356,58 356,58 2215,43154 2213,29206 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-07 6,2235 6,2175 356,74 356,74 2220,17139 2218,03095 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-08 6,2045 6,1985 356,59 356,59 2212,462655 2210,323115 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-09 6,1965 6,1905 356,44 356,44 2208,68046 2206,54182 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-10 6,237 6,231 355,98 355,98 2220,24726 2218,11138 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-11 6,2725 6,2665 356,62 356,62 2236,89895 2234,75923 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-14 6,207 6,201 357,12 357,12 2216,64384 2214,50112 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-15 6,2165 6,2105 357,33 357,33 2221,341945 2219,197965 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-16 6,2315 6,2255 358,51 358,51 2234,055065 2231,904005 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-17 6,231 6,225 359,56 359,56 2240,41836 2238,261 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-18 6,206 6,2 359,43 359,43 2230,62258 2228,466 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-21 6,1925 6,1865 360,58 360,58 2232,89165 2230,72817 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-22 6,1795 6,1735 361,4 361,4 2233,2713 2231,1029 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-23 6,143 6,137 361,78 361,78 2222,41454 2220,24386 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-24 6,1375 6,1315 362,29 362,29 2223,554875 2221,381135 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-25 6,1255 6,1195 362,27 362,27 2219,084885 2216,911265 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-28 6,133 6,127 361,07 361,07 2214,44231 2212,27589 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-29 6,1265 6,1205 361,18 361,18 2212,76927 2210,60219 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-11-30 6,1535 6,1475 361,29 361,29 2223,198015 2221,030275 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-01 6,1535 6,1475 363,37 363,37 2235,997295 2233,817075 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-02 6,1445 6,1385 363,71 363,71 2234,816095 2232,633835 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-05 6,0915 6,0855 363,41 363,41 2213,712015 2211,531555 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-06 6,1145 6,1085 363,66 363,66 2223,59907 2221,41711 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-07 6,119 6,113 363,81 363,81 2226,15339 2223,97053 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-08 6,108 6,102 363,66 363,66 2221,23528 2219,05332 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-12 6,132 6,126 363,94 363,94 2231,68008 2229,49644 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-13 6,1175 6,1115 364,43 364,43 2229,400525 2227,213945 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-14 6,113 6,107 363,63 363,63 2222,87019 2220,68841 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-15 6,1225 6,1165 363,75 363,75 2227,059375 2224,876875 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-16 6,1425 6,1365 364,61 364,61 2239,616925 2237,429265 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-19 6,0955 6,0895 365,01 365,01 2224,918455 2222,728395 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-20 6,0575 6,0515 366,16 366,16 2218,0142 2215,81724 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-21 6,088 6,082 367,41 367,41 2236,79208 2234,58762 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-22 6,0705 6,0645 367,68 367,68 2232,00144 2229,79536 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-23 6,0645 6,0585 368,27 368,27 2233,373415 2231,163795 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-27 6,0995 6,0935 368,08 368,08 2245,10396 2242,89548 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-28 6,0585 6,0525 368,66 368,66 2233,52661 2231,31465 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-29 6,0405 6,0345 368,99 368,99 2228,884095 2226,670155 223255 Finter Fund Management Company S.A Finter Fund Yield Portfolio (CHF) CHF 2005-12-30 6,061 6,055 368,46 368,46 2233,23606 2231,0253 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-04 12,8005 12,7855 1,1632 1,1632 14,8895416 14,8720936 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-05 12,8355 12,8205 1,1534 1,1534 14,8044657 14,7871647 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-07 12,8955 12,8805 1,1471 1,1471 14,79242805 14,77522155 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-10 13,03576 13,02076 1,148 1,148 14,96505248 14,94783248 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-11 13,03576 13,02076 1,1518 1,1518 15,014588368 14,997311368 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-12 12,9275 12,9125 1,1495 1,1495 14,86016125 14,84291875 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-13 12,9275 12,9125 1,1555 1,1555 14,93772625 14,92039375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-14 12,9175 12,9025 1,1622 1,1622 15,0127185 14,9952855 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-17 12,9455 12,9305 1,1784 1,1784 15,2549772 15,2373012 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-18 12,9175 12,9025 1,1746 1,1746 15,1728955 15,1552765 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-19 12,9275 12,9125 1,1724 1,1724 15,156201 15,138615 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-20 12,9955 12,9805 1,1719 1,1719 15,22942645 15,21184795 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-21 13,0555 13,0405 1,1709 1,1709 15,28668495 15,26912145 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-24 13,0525 13,0375 1,1633 1,1633 15,18397325 15,16652375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-25 13,0575 13,0425 1,1629 1,1629 15,18456675 15,16712325 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-26 13,0755 13,0605 1,1695 1,1695 15,29179725 15,27425475 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-27 13,0475 13,0325 1,1678 1,1678 15,2368705 15,2193535 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-28 13,1705 13,1555 1,1729 1,1729 15,44767945 15,43008595 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-01-31 13,1875 13,1725 1,1828 1,1828 15,598175 15,580433 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-01 13,1555 13,1405 1,187 1,187 15,6155785 15,5977735 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-02 13,1025 13,0875 1,1769 1,1769 15,42033225 15,40267875 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-03 13,1225 13,1075 1,1939 1,1939 15,66695275 15,64904425 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-04 13,1855 13,1705 1,1818 1,1818 15,5826239 15,5648969 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-07 13,2305 13,2155 1,2073 1,2073 15,97318265 15,95507315 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-08 13,2175 13,2025 1,2016 1,2016 15,882148 15,864124 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-09 13,1775 13,1625 1,2116 1,2116 15,965859 15,947685 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-10 13,1855 13,1705 1,2111 1,2111 15,96895905 15,95079255 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-11 13,2155 13,2005 1,2131 1,2131 16,03172305 16,01352655 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-14 13,2175 13,2025 1,2118 1,2118 16,0169665 15,9987895 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-15 13,2175 13,2025 1,215 1,215 16,0592625 16,0410375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-16 13,1905 13,1755 1,2174 1,2174 16,0581147 16,0398537 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-17 13,1605 13,1455 1,214 1,214 15,976847 15,958637 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-18 13,2005 13,1855 1,2199 1,2199 16,10328995 16,08499145 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-21 13,2475 13,2325 1,2202 1,2202 16,1645995 16,1462965 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-22 13,1575 13,1425 1,2074 1,2074 15,8863655 15,8682545 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-23 13,1405 13,1255 1,2104 1,2104 15,9052612 15,8871052 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-24 13,0725 13,0575 1,2272 1,2272 16,042572 16,024164 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-25 13,1575 13,1425 1,2293 1,2293 16,17451475 16,15607525 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-02-28 13,1325 13,1175 1,2354 1,2354 16,2238905 16,2053595 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-01 13,1855 13,1705 1,2357 1,2357 16,29332235 16,27478685 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-02 13,2105 13,1955 1,2323 1,2323 16,27929915 16,26081465 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-03 13,1875 13,1725 1,2351 1,2351 16,28788125 16,26935475 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-04 13,1505 13,1355 1,2339 1,2339 16,22640195 16,20789345 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-07 13,1305 13,1155 1,2397 1,2397 16,27788085 16,25928535 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-08 13,0925 13,0775 1,2386 1,2386 16,2163705 16,1977915 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-09 13,0505 13,0355 1,2465 1,2465 16,26744825 16,24875075 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-10 13,0175 13,0025 1,2374 1,2374 16,1078545 16,0892935 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-11 12,9975 12,9825 1,244 1,244 16,16889 16,15023 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-14 12,9805 12,9655 1,2441 1,2441 16,14904005 16,13037855 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-15 13,0475 13,0325 1,2299 1,2299 16,04712025 16,02867175 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-16 13,0825 13,0675 1,2427 1,2427 16,25762275 16,23898225 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-17 13,0825 13,0675 1,2282 1,2282 16,0679265 16,0495035 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-18 13,0955 13,0805 1,2379 1,2379 16,21091945 16,19235095 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-21 13,1805 13,1655 1,2421 1,2421 16,37149905 16,35286755 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-22 13,1605 13,1455 1,2343 1,2343 16,24400515 16,22549065 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-23 13,1455 13,1305 1,2285 1,2285 16,14924675 16,13081925 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-24 13,1205 13,1055 1,2223 1,2223 16,03718715 16,01885265 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-29 13,2125 13,1975 1,2121 1,2121 16,01487125 15,99668975 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-30 13,2575 13,2425 1,2004 1,2004 15,914303 15,896297 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-03-31 13,2725 13,2575 1,2105 1,2105 16,06636125 16,04820375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-01 13,3525 13,3375 1,2191 1,2191 16,27803275 16,25974625 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-04 13,3575 13,3425 1,2251 1,2251 16,36427325 16,34589675 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-05 13,4255 13,4105 1,2231 1,2231 16,42072905 16,40238255 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-06 13,4155 13,4005 1,2241 1,2241 16,42191355 16,40355205 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-07 13,3375 13,3225 1,2285 1,2285 16,38511875 16,36669125 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-08 13,3655 13,3505 1,2359 1,2359 16,51842145 16,49988295 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-11 13,3755 13,3605 1,2222 1,2222 16,3475361 16,3292031 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-12 13,3375 13,3225 1,2227 1,2227 16,30776125 16,28942075 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-13 13,3955 13,3805 1,2273 1,2273 16,44029715 16,42188765 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-14 13,4505 13,4355 1,2143 1,2143 16,33294215 16,31472765 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-15 13,4925 13,4775 1,1911 1,1911 16,07091675 16,05305025 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-18 13,4225 13,4075 1,1622 1,1622 15,5996295 15,5821965 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-19 13,4855 13,4705 1,1687 1,1687 15,76050385 15,74297335 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-20 13,5005 13,4855 1,1762 1,1762 15,8792881 15,8616451 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-21 13,4575 13,4425 1,1823 1,1823 15,91080225 15,89306775 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-22 13,4125 13,3975 1,19 1,19 15,960875 15,943025 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-25 13,4775 13,4625 1,1919 1,1919 16,06383225 16,04595375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-26 13,4225 13,4075 1,1947 1,1947 16,03586075 16,01794025 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-27 13,4605 13,4455 1,191 1,191 16,0314555 16,0135905 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-28 13,4755 13,4605 1,1796 1,1796 15,8956998 15,8780058 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-04-29 13,5405 13,5255 1,1747 1,1747 15,90602535 15,88840485 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-03 13,5955 13,5805 1,1906 1,1906 16,1868023 16,1689433 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-04 13,4925 13,4775 1,1892 1,1892 16,045281 16,027443 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-06 13,4375 13,4225 1,1884 1,1884 15,969125 15,951299 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-09 13,5205 13,5055 1,2098 1,2098 16,3571009 16,3389539 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-10 13,4755 13,4605 1,2083 1,2083 16,28244665 16,26432215 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-11 13,4805 13,4655 1,208 1,208 16,284444 16,266324 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-12 13,4955 13,4805 1,2159 1,2159 16,40917845 16,39093995 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-13 13,5205 13,5055 1,2136 1,2136 16,4084788 16,3902748 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-16 13,4775 13,4625 1,2192 1,2192 16,431768 16,41348 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-17 13,4375 13,4225 1,2117 1,2117 16,28221875 16,26404325 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-18 13,3805 13,3655 1,2176 1,2176 16,2920968 16,2738328 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-19 13,3505 13,3355 1,2247 1,2247 16,35035735 16,33198685 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-20 13,3655 13,3505 1,2244 1,2244 16,3647182 16,3463522 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-23 13,3775 13,3625 1,2285 1,2285 16,43425875 16,41583125 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-24 13,3605 13,3455 1,2349 1,2349 16,49888145 16,48035795 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-25 13,3405 13,3255 1,2333 1,2333 16,45283865 16,43433915 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-26 13,3655 13,3505 1,2353 1,2353 16,51040215 16,49187265 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-27 13,3855 13,3705 1,2475 1,2475 16,69841125 16,67969875 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-05-31 13,4475 13,4325 1,2494 1,2494 16,8013065 16,7825655 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-01 13,5155 13,5005 1,2539 1,2539 16,94708545 16,92827695 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-02 13,5755 13,5605 1,2562 1,2562 17,0535431 17,0347001 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-03 13,5255 13,5105 1,2633 1,2633 17,08676415 17,06781465 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-07 13,6225 13,6075 1,2668 1,2668 17,256983 17,237981 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-08 13,6505 13,6355 1,2641 1,2641 17,25559705 17,23663555 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-09 13,7225 13,7075 1,2659 1,2659 17,37131275 17,35232425 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-10 13,6925 13,6775 1,2702 1,2702 17,3922135 17,3731605 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-13 13,8305 13,8155 1,2819 1,2819 17,72931795 17,71008945 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-14 13,8625 13,8475 1,28 1,28 17,744 17,7248 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-15 13,9175 13,9025 1,2846 1,2846 17,8784205 17,8591515 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-16 13,9605 13,9455 1,2801 1,2801 17,87083605 17,85163455 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-17 13,9355 13,9205 1,284 1,284 17,893182 17,873922 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-20 13,7705 13,7555 1,2861 1,2861 17,71024005 17,69094855 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-21 13,9325 13,9175 1,2885 1,2885 17,95202625 17,93269875 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-22 13,9175 13,9025 1,2935 1,2935 18,00228625 17,98288375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-23 14,0705 14,0555 1,2974 1,2974 18,2550667 18,2356057 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-27 14,1125 14,0975 1,2678 1,2678 17,8918275 17,8728105 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-28 14,1355 14,1205 1,2887 1,2887 18,21641885 18,19708835 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-29 14,2175 14,2025 1,296 1,296 18,42588 18,40644 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-06-30 14,1205 14,1055 1,3094 1,3094 18,4893827 18,4697417 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-01 13,9625 13,9475 1,3197 1,3197 18,42631125 18,40651575 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-04 14,0055 13,9905 1,3355 1,3355 18,70434525 18,68431275 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-05 13,9575 13,9425 1,3336 1,3336 18,613722 18,593718 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-06 13,8755 13,8605 1,3368 1,3368 18,5487684 18,5287164 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-07 13,7955 13,7805 1,3354 1,3354 18,4225107 18,4024797 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-08 13,7455 13,7305 1,3434 1,3434 18,4657047 18,4455537 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-11 13,7425 13,7275 1,3554 1,3554 18,6265845 18,6062535 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-12 13,7325 13,7175 1,3457 1,3457 18,47982525 18,45963975 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-13 13,6455 13,6305 1,3517 1,3517 18,44462235 18,42434685 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-14 13,6705 13,6555 1,3671 1,3671 18,68894055 18,66843405 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-15 13,6805 13,6655 1,3642 1,3642 18,6629381 18,6424751 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-18 13,6225 13,6075 1,3748 1,3748 18,728213 18,707591 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-19 13,7025 13,6875 1,3885 1,3885 19,02592125 19,00509375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-20 13,5825 13,5675 1,4002 1,4002 19,0182165 18,9972135 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-21 13,5825 13,5675 1,393 1,393 18,9204225 18,8995275 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-22 13,6105 13,5955 1,405 1,405 19,1227525 19,1016775 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-25 13,5875 13,5725 1,4195 1,4195 19,28745625 19,26616375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-26 13,6305 13,6155 1,422 1,422 19,382571 19,361241 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-27 13,7055 13,6905 1,4254 1,4254 19,5358197 19,5144387 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-28 13,6655 13,6505 1,4261 1,4261 19,48836955 19,46697805 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-07-29 13,5975 13,5825 1,4217 1,4217 19,33156575 19,31024025 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-01 13,6055 13,5905 1,4168 1,4168 19,2762724 19,2550204 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-02 13,6355 13,6205 1,4286 1,4286 19,4796753 19,4582463 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-03 13,6005 13,5855 1,4228 1,4228 19,3507914 19,3294494 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-04 13,5175 13,5025 1,4213 1,4213 19,21242275 19,19110325 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-05 13,4275 13,4125 1,4136 1,4136 18,981114 18,95991 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-08 13,4375 13,4225 1,4084 1,4084 18,925375 18,904249 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-09 13,4755 13,4605 1,4126 1,4126 19,0354913 19,0143023 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-10 13,5305 13,5155 1,4135 1,4135 19,12536175 19,10415925 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-11 13,5455 13,5305 1,4138 1,4138 19,1506279 19,1294209 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-12 13,5225 13,5075 1,4104 1,4104 19,072134 19,050978 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-15 13,6175 13,6025 1,4079 1,4079 19,17207825 19,15095975 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-16 13,6355 13,6205 1,4007 1,4007 19,09924485 19,07823435 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-17 13,7125 13,6975 1,3942 1,3942 19,1179675 19,0970545 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-18 13,7405 13,7255 1,3854 1,3854 19,0360887 19,0153077 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-19 13,7775 13,7625 1,3881 1,3881 19,12454775 19,10372625 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-22 13,8405 13,8255 1,4019 1,4019 19,40299695 19,38196845 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-23 13,7805 13,7655 1,3955 1,3955 19,23068775 19,20975525 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-24 13,7555 13,7405 1,3841 1,3841 19,03898755 19,01822605 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-25 13,7055 13,6905 1,3775 1,3775 18,87932625 18,85866375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-26 13,6875 13,6725 1,3799 1,3799 18,88738125 18,86668275 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-30 13,6825 13,6675 1,383 1,383 18,9228975 18,9021525 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-08-31 13,6805 13,6655 1,3823 1,3823 18,91055515 18,88982065 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-01 13,6375 13,6225 1,3848 1,3848 18,88521 18,864438 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-02 13,6475 13,6325 1,3793 1,3793 18,82399675 18,80330725 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-05 13,6855 13,6705 1,3653 1,3653 18,68481315 18,66433365 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-06 13,7625 13,7475 1,3667 1,3667 18,80920875 18,78870825 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-07 13,7105 13,6955 1,3759 1,3759 18,86427695 18,84363845 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-08 13,7855 13,7705 1,3784 1,3784 19,0019332 18,9812572 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-09 13,8275 13,8125 1,3855 1,3855 19,15800125 19,13721875 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-12 13,8055 13,7905 1,4002 1,4002 19,3304611 19,3094581 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-13 13,7805 13,7655 1,4012 1,4012 19,3092366 19,2882186 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-14 13,8805 13,8655 1,4027 1,4027 19,47017735 19,44913685 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-15 13,8955 13,8805 1,4161 1,4161 19,67741755 19,65617605 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-16 13,7905 13,7755 1,4127 1,4127 19,48183935 19,46064885 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-19 13,8555 13,8405 1,4168 1,4168 19,6304724 19,6092204 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-20 13,8775 13,8625 1,4299 1,4299 19,84343725 19,82198875 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-21 13,8375 13,8225 1,4235 1,4235 19,69768125 19,67632875 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-22 13,8355 13,8205 1,4223 1,4223 19,67823165 19,65689715 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-23 13,8055 13,7905 1,4234 1,4234 19,6507487 19,6293977 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-26 13,8325 13,8175 1,4478 1,4478 20,0266935 20,0049765 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-27 13,8205 13,8055 1,4542 1,4542 20,0977711 20,0759581 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-28 13,8275 13,8125 1,4584 1,4584 20,166026 20,14415 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-29 13,7475 13,7325 1,4703 1,4703 20,21294925 20,19089475 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-09-30 13,6775 13,6625 1,4698 1,4698 20,1031895 20,0811425 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-03 13,6775 13,6625 1,4753 1,4753 20,17841575 20,15628625 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-04 13,7375 13,7225 1,4809 1,4809 20,34386375 20,32165025 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-05 13,7405 13,7255 1,4621 1,4621 20,08998505 20,06805355 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-06 13,6705 13,6555 1,4306 1,4306 19,5570173 19,5355583 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-07 13,5955 13,5805 1,4298 1,4298 19,4388459 19,4173989 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-10 13,5675 13,5525 1,4488 1,4488 19,656594 19,634862 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-11 13,5855 13,5705 1,4498 1,4498 19,6962579 19,6745109 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-12 13,5955 13,5805 1,4423 1,4423 19,60878965 19,58715515 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-13 13,6675 13,6525 1,4259 1,4259 19,48848825 19,46709975 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-14 13,7555 13,7405 1,4117 1,4117 19,41863935 19,39746385 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-17 13,8475 13,8325 1,3849 1,3849 19,17740275 19,15662925 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-18 13,8225 13,8075 1,409 1,409 19,4759025 19,4547675 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-19 13,8975 13,8825 1,3666 1,3666 18,9923235 18,9718245 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-20 13,9905 13,9755 1,3483 1,3483 18,86339115 18,84316665 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-21 14,0025 13,9875 1,3638 1,3638 19,0966095 19,0761525 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-24 14,1375 14,1225 1,3601 1,3601 19,22841375 19,20801225 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-25 14,1225 14,1075 1,3585 1,3585 19,18541625 19,16503875 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-26 13,9955 13,9805 1,3718 1,3718 19,1990269 19,1784499 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-27 14,0405 14,0255 1,355 1,355 19,0248775 19,0045525 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-28 13,9655 13,9505 1,3404 1,3404 18,7193562 18,6992502 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-10-31 14,0725 14,0575 1,3608 1,3608 19,149858 19,129446 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-01 14,1055 14,0905 1,3854 1,3854 19,5417597 19,5209787 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-02 14,0775 14,0625 1,4045 1,4045 19,77184875 19,75078125 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-03 14,2125 14,1975 1,4044 1,4044 19,960035 19,938969 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-04 14,1905 14,1755 1,4117 1,4117 20,03272885 20,01155335 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-07 14,2275 14,2125 1,4126 1,4126 20,0977665 20,0765775 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-08 14,1725 14,1575 1,4255 1,4255 20,20289875 20,18151625 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-09 14,1525 14,1375 1,4255 1,4255 20,17438875 20,15300625 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-10 14,2425 14,2275 1,4149 1,4149 20,15171325 20,13048975 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-11 14,3475 14,3325 1,4319 1,4319 20,54418525 20,52270675 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-14 14,1905 14,1755 1,4267 1,4267 20,24558635 20,22418585 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-15 14,2325 14,2175 1,4301 1,4301 20,35389825 20,33244675 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-16 14,2475 14,2325 1,4343 1,4343 20,43518925 20,41367475 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-17 14,1855 14,1705 1,4333 1,4333 20,33207715 20,31057765 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-18 14,0775 14,0625 1,4715 1,4715 20,71504125 20,69296875 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-21 13,9755 13,9605 1,4691 1,4691 20,53140705 20,50937055 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-22 13,9775 13,9625 1,4633 1,4633 20,45327575 20,43132625 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-23 13,8705 13,8555 1,4807 1,4807 20,53804935 20,51583885 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-24 13,8725 13,8575 1,4841 1,4841 20,58817725 20,56591575 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-25 13,8775 13,8625 1,485 1,485 20,6080875 20,5858125 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-28 13,8505 13,8355 1,4948 1,4948 20,7037274 20,6813054 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-29 13,8325 13,8175 1,4649 1,4649 20,26322925 20,24125575 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-11-30 13,9255 13,9105 1,4843 1,4843 20,66961965 20,64735515 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-01 13,9955 13,9805 1,4817 1,4817 20,73713235 20,71490685 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-02 14,0055 13,9905 1,4933 1,4933 20,91441315 20,89201365 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-05 13,9175 13,9025 1,4935 1,4935 20,78578625 20,76338375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-06 13,9455 13,9305 1,496 1,496 20,862468 20,840028 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-07 13,9105 13,8955 1,5042 1,5042 20,9241741 20,9016111 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-08 13,8955 13,8805 1,4873 1,4873 20,66677715 20,64446765 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-12 14,0125 13,9975 1,494 1,494 20,934675 20,912265 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-13 14,0075 13,9925 1,4886 1,4886 20,8515645 20,8292355 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-14 13,9555 13,9405 1,4946 1,4946 20,8578903 20,8354713 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-15 13,9105 13,8955 1,4889 1,4889 20,71134345 20,68900995 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-16 13,9755 13,9605 1,4857 1,4857 20,76340035 20,74111485 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-19 13,9125 13,8975 1,4933 1,4933 20,77553625 20,75313675 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-20 13,8225 13,8075 1,4937 1,4937 20,64666825 20,62426275 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-21 13,9605 13,9455 1,5089 1,5089 21,06499845 21,04236495 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-22 13,8975 13,8825 1,5215 1,5215 21,14504625 21,12222375 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-23 13,8255 13,8105 1,5322 1,5322 21,1834311 21,1604481 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-28 13,7705 13,7555 1,5323 1,5323 21,10053715 21,07755265 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-29 13,6655 13,6505 1,5572 1,5572 21,2799166 21,2565586 934950 First State Investments (UK) Ltd First State Asia Pacific Leaders Fund GBP 2005-12-30 13,7405 13,7255 1,5545 1,5545 21,35960725 21,33628975 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-04 12,8005 12,7855 1,1074 1,1074 14,1752737 14,1586627 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-05 12,8355 12,8205 1,0945 1,0945 14,04845475 14,03203725 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-07 12,8955 12,8805 1,0819 1,0819 13,95164145 13,93541295 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-10 13,03576 13,02076 1,0859 1,0859 14,155531784 14,139243284 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-11 13,03576 13,02076 1,0894 1,0894 14,201156944 14,184815944 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-12 12,9275 12,9125 1,0831 1,0831 14,00177525 13,98552875 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-13 12,9275 12,9125 1,0864 1,0864 14,044436 14,02814 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-14 12,9175 12,9025 1,1001 1,1001 14,21054175 14,19404025 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-17 12,9455 12,9305 1,1136 1,1136 14,4161088 14,3994048 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-18 12,9175 12,9025 1,114 1,114 14,390095 14,373385 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-19 12,9275 12,9125 1,105 1,105 14,2848875 14,2683125 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-20 12,9955 12,9805 1,1044 1,1044 14,3522302 14,3356642 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-21 13,0555 13,0405 1,0989 1,0989 14,34668895 14,33020545 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-24 13,0525 13,0375 1,0936 1,0936 14,274214 14,25781 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-25 13,0575 13,0425 1,0919 1,0919 14,25748425 14,24110575 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-26 13,0755 13,0605 1,0983 1,0983 14,36082165 14,34434715 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-27 13,0475 13,0325 1,0946 1,0946 14,2817935 14,2653745 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-28 13,1705 13,1555 1,0973 1,0973 14,45198965 14,43553015 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-01-31 13,1875 13,1725 1,1074 1,1074 14,6038375 14,5872265 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-01 13,1555 13,1405 1,1172 1,1172 14,6973246 14,6805666 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-02 13,1025 13,0875 1,1111 1,1111 14,55818775 14,54152125 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-03 13,1225 13,1075 1,1269 1,1269 14,78774525 14,77084175 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-04 13,1855 13,1705 1,1334 1,1334 14,9444457 14,9274447 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-07 13,2305 13,2155 1,148 1,148 15,188614 15,171394 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-08 13,2175 13,2025 1,1578 1,1578 15,3032215 15,2858545 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-09 13,1775 13,1625 1,1432 1,1432 15,064518 15,04737 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-10 13,1855 13,1705 1,1413 1,1413 15,04861115 15,03149165 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-11 13,2155 13,2005 1,1422 1,1422 15,0947441 15,0776111 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-14 13,2175 13,2025 1,1425 1,1425 15,10099375 15,08385625 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-15 13,2175 13,2025 1,1477 1,1477 15,16972475 15,15250925 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-16 13,1905 13,1755 1,1509 1,1509 15,18094645 15,16368295 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-17 13,1605 13,1455 1,1463 1,1463 15,08588115 15,06868665 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-18 13,2005 13,1855 1,1662 1,1662 15,3944231 15,3769301 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-21 13,2475 13,2325 1,1654 1,1654 15,4386365 15,4211555 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-22 13,1575 13,1425 1,1404 1,1404 15,004813 14,987707 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-23 13,1405 13,1255 1,155 1,155 15,1772775 15,1599525 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-24 13,0725 13,0575 1,1661 1,1661 15,24384225 15,22635075 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-25 13,1575 13,1425 1,1737 1,1737 15,44295775 15,42535225 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-02-28 13,1325 13,1175 1,1714 1,1714 15,3834105 15,3658395 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-01 13,1855 13,1705 1,1788 1,1788 15,5430674 15,5253854 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-02 13,2105 13,1955 1,1712 1,1712 15,4721376 15,4545696 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-03 13,1875 13,1725 1,1756 1,1756 15,503225 15,485591 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-04 13,1505 13,1355 1,177 1,177 15,4781385 15,4604835 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-07 13,1305 13,1155 1,1837 1,1837 15,54257285 15,52481735 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-08 13,0925 13,0775 1,1788 1,1788 15,433439 15,415757 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-09 13,0505 13,0355 1,1814 1,1814 15,4178607 15,4001397 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-10 13,0175 13,0025 1,1578 1,1578 15,0716615 15,0542945 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-11 12,9975 12,9825 1,176 1,176 15,28506 15,26742 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-14 12,9805 12,9655 1,1699 1,1699 15,18588695 15,16833845 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-15 13,0475 13,0325 1,1512 1,1512 15,020282 15,003014 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-16 13,0825 13,0675 1,1546 1,1546 15,1050545 15,0877355 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-17 13,0825 13,0675 1,1289 1,1289 14,76883425 14,75190075 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-18 13,0955 13,0805 1,1372 1,1372 14,8922026 14,8751446 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-21 13,1805 13,1655 1,1459 1,1459 15,10353495 15,08634645 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-22 13,1605 13,1455 1,1253 1,1253 14,80951065 14,79263115 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-23 13,1455 13,1305 1,1362 1,1362 14,9359171 14,9188741 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-24 13,1205 13,1055 1,1309 1,1309 14,83797345 14,82100995 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-29 13,2125 13,1975 1,1224 1,1224 14,82971 14,812874 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-30 13,2575 13,2425 1,113 1,113 14,7555975 14,7389025 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-03-31 13,2725 13,2575 1,1268 1,1268 14,955453 14,938551 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-01 13,3525 13,3375 1,1414 1,1414 15,2405435 15,2234225 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-04 13,3575 13,3425 1,139 1,139 15,2141925 15,1971075 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-05 13,4255 13,4105 1,1363 1,1363 15,25539565 15,23835115 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-06 13,4155 13,4005 1,139 1,139 15,2802545 15,2631695 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-07 13,3375 13,3225 1,1305 1,1305 15,07804375 15,06108625 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-08 13,3655 13,3505 1,1503 1,1503 15,37433465 15,35708015 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-11 13,3755 13,3605 1,1401 1,1401 15,24940755 15,23230605 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-12 13,3375 13,3225 1,14 1,14 15,20475 15,18765 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-13 13,3955 13,3805 1,1406 1,1406 15,2789073 15,2617983 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-14 13,4505 13,4355 1,1313 1,1313 15,21655065 15,19958115 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-15 13,4925 13,4775 1,1134 1,1134 15,0225495 15,0058485 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-18 13,4225 13,4075 1,0845 1,0845 14,55670125 14,54043375 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-19 13,4855 13,4705 1,0888 1,0888 14,6830124 14,6666804 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-20 13,5005 13,4855 1,1012 1,1012 14,8667506 14,8502326 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-21 13,4575 13,4425 1,102 1,102 14,830165 14,813635 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-22 13,4125 13,3975 1,1082 1,1082 14,8637325 14,8471095 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-25 13,4775 13,4625 1,1051 1,1051 14,89398525 14,87740875 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-26 13,4225 13,4075 1,111 1,111 14,9123975 14,8957325 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-27 13,4605 13,4455 1,1093 1,1093 14,93173265 14,91509315 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-28 13,4755 13,4605 1,0972 1,0972 14,7853186 14,7688606 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-04-29 13,5405 13,5255 1,0873 1,0873 14,72258565 14,70627615 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-03 13,5955 13,5805 1,1126 1,1126 15,1263533 15,1096643 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-04 13,4925 13,4775 1,1161 1,1161 15,05897925 15,04223775 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-06 13,4375 13,4225 1,1306 1,1306 15,1924375 15,1754785 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-09 13,5205 13,5055 1,1382 1,1382 15,3890331 15,3719601 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-10 13,4755 13,4605 1,1366 1,1366 15,3162533 15,2992043 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-11 13,4805 13,4655 1,1275 1,1275 15,19926375 15,18235125 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-12 13,4955 13,4805 1,1222 1,1222 15,1446501 15,1278171 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-13 13,5205 13,5055 1,1207 1,1207 15,15242435 15,13561385 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-16 13,4775 13,4625 1,1412 1,1412 15,380523 15,363405 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-17 13,4375 13,4225 1,1376 1,1376 15,2865 15,269436 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-18 13,3805 13,3655 1,1477 1,1477 15,35679985 15,33958435 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-19 13,3505 13,3355 1,157 1,157 15,4465285 15,4291735 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-20 13,3655 13,3505 1,1468 1,1468 15,3275554 15,3103534 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-23 13,3775 13,3625 1,1586 1,1586 15,4991715 15,4817925 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-24 13,3605 13,3455 1,1597 1,1597 15,49417185 15,47677635 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-25 13,3405 13,3255 1,1476 1,1476 15,3095578 15,2923438 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-26 13,3655 13,3505 1,1527 1,1527 15,40641185 15,38912135 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-27 13,3855 13,3705 1,1636 1,1636 15,5753678 15,5579138 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-05-31 13,4475 13,4325 1,1865 1,1865 15,95545875 15,93766125 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-01 13,5155 13,5005 1,1902 1,1902 16,0861481 16,0682951 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-02 13,5755 13,5605 1,196 1,196 16,236298 16,218358 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-03 13,5255 13,5105 1,2019 1,2019 16,25629845 16,23826995 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-07 13,6225 13,6075 1,1942 1,1942 16,2679895 16,2500765 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-08 13,6505 13,6355 1,1919 1,1919 16,27003095 16,25215245 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-09 13,7225 13,7075 1,182 1,182 16,219995 16,202265 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-10 13,6925 13,6775 1,1984 1,1984 16,409092 16,391116 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-13 13,8305 13,8155 1,2143 1,2143 16,79437615 16,77616165 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-14 13,8625 13,8475 1,2112 1,2112 16,79026 16,772092 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-15 13,9175 13,9025 1,2163 1,2163 16,92785525 16,90961075 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-16 13,9605 13,9455 1,212 1,212 16,920126 16,901946 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-17 13,9355 13,9205 1,2143 1,2143 16,92187765 16,90366315 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-20 13,7705 13,7555 1,2129 1,2129 16,70223945 16,68404595 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-21 13,9325 13,9175 1,2167 1,2167 16,95167275 16,93342225 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-22 13,9175 13,9025 1,2232 1,2232 17,023886 17,005538 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-23 14,0705 14,0555 1,2264 1,2264 17,2560612 17,2376652 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-27 14,1125 14,0975 1,1947 1,1947 16,86020375 16,84228325 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-28 14,1355 14,1205 1,2046 1,2046 17,0276233 17,0095543 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-29 14,2175 14,2025 1,2127 1,2127 17,24156225 17,22337175 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-06-30 14,1205 14,1055 1,2393 1,2393 17,49953565 17,48094615 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-01 13,9625 13,9475 1,2491 1,2491 17,44055875 17,42182225 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-04 14,0055 13,9905 1,2688 1,2688 17,7701784 17,7511464 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-05 13,9575 13,9425 1,2663 1,2663 17,67438225 17,65538775 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-06 13,8755 13,8605 1,2678 1,2678 17,5913589 17,5723419 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-07 13,7955 13,7805 1,2528 1,2528 17,2830024 17,2642104 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-08 13,7455 13,7305 1,2779 1,2779 17,56537445 17,54620595 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-11 13,7425 13,7275 1,2917 1,2917 17,75118725 17,73181175 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-12 13,7325 13,7175 1,2844 1,2844 17,638023 17,618757 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-13 13,6455 13,6305 1,2942 1,2942 17,6600061 17,6405931 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-14 13,6705 13,6555 1,2933 1,2933 17,68005765 17,66065815 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-15 13,6805 13,6655 1,3063 1,3063 17,87083715 17,85124265 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-18 13,6225 13,6075 1,3077 1,3077 17,81414325 17,79452775 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-19 13,7025 13,6875 1,3191 1,3191 18,07496775 18,05518125 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-20 13,5825 13,5675 1,3279 1,3279 18,03620175 18,01628325 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-21 13,5825 13,5675 1,3248 1,3248 17,994096 17,974224 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-22 13,6105 13,5955 1,3139 1,3139 17,88283595 17,86312745 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-25 13,5875 13,5725 1,3443 1,3443 18,26567625 18,24551175 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-26 13,6305 13,6155 1,3383 1,3383 18,24169815 18,22162365 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-27 13,7055 13,6905 1,327 1,327 18,1871985 18,1672935 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-28 13,6655 13,6505 1,3503 1,3503 18,45252465 18,43227015 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-07-29 13,5975 13,5825 1,3303 1,3303 18,08875425 18,06879975 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-01 13,6055 13,5905 1,341 1,341 18,2449755 18,2248605 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-02 13,6355 13,6205 1,3523 1,3523 18,43928665 18,41900215 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-03 13,6005 13,5855 1,3526 1,3526 18,3960363 18,3757473 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-04 13,5175 13,5025 1,3513 1,3513 18,26619775 18,24592825 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-05 13,4275 13,4125 1,3479 1,3479 18,09892725 18,07870875 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-08 13,4375 13,4225 1,3351 1,3351 17,94040625 17,92037975 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-09 13,4755 13,4605 1,3269 1,3269 17,88064095 17,86073745 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-10 13,5305 13,5155 1,3274 1,3274 17,9603857 17,9404747 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-11 13,5455 13,5305 1,3264 1,3264 17,9667512 17,9468552 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-12 13,5225 13,5075 1,313 1,313 17,7550425 17,7353475 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-15 13,6175 13,6025 1,3259 1,3259 18,05544325 18,03555475 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-16 13,6355 13,6205 1,3271 1,3271 18,09567205 18,07576555 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-17 13,7125 13,6975 1,3244 1,3244 18,160835 18,140969 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-18 13,7405 13,7255 1,3081 1,3081 17,97394805 17,95432655 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-19 13,7775 13,7625 1,3124 1,3124 18,081591 18,061905 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-22 13,8405 13,8255 1,3355 1,3355 18,48398775 18,46395525 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-23 13,7805 13,7655 1,3379 1,3379 18,43693095 18,41686245 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-24 13,7555 13,7405 1,3119 1,3119 18,04584045 18,02616195 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-25 13,7055 13,6905 1,3008 1,3008 17,8281144 17,8086024 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-26 13,6875 13,6725 1,3065 1,3065 17,88271875 17,86312125 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-30 13,6825 13,6675 1,3161 1,3161 18,00753825 17,98779675 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-08-31 13,6805 13,6655 1,3331 1,3331 18,23747455 18,21747805 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-01 13,6375 13,6225 1,3184 1,3184 17,97968 17,959904 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-02 13,6475 13,6325 1,3268 1,3268 18,107503 18,087601 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-05 13,6855 13,6705 1,3089 1,3089 17,91295095 17,89331745 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-06 13,7625 13,7475 1,3267 1,3267 18,25870875 18,23880825 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-07 13,7105 13,6955 1,3354 1,3354 18,3090017 18,2889707 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-08 13,7855 13,7705 1,3377 1,3377 18,44086335 18,42079785 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-09 13,8275 13,8125 1,3496 1,3496 18,661594 18,64135 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-12 13,8055 13,7905 1,3662 1,3662 18,8610741 18,8405811 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-13 13,7805 13,7655 1,3691 1,3691 18,86688255 18,84634605 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-14 13,8805 13,8655 1,3507 1,3507 18,74839135 18,72813085 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-15 13,8955 13,8805 1,3822 1,3822 19,2063601 19,1856271 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-16 13,7905 13,7755 1,3883 1,3883 19,14535115 19,12452665 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-19 13,8555 13,8405 1,4024 1,4024 19,4309532 19,4099172 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-20 13,8775 13,8625 1,4116 1,4116 19,589479 19,568305 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-21 13,8375 13,8225 1,4057 1,4057 19,45137375 19,43028825 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-22 13,8355 13,8205 1,3939 1,3939 19,28530345 19,26439495 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-23 13,8055 13,7905 1,4088 1,4088 19,4491884 19,4280564 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-26 13,8325 13,8175 1,4152 1,4152 19,575754 19,554526 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-27 13,8205 13,8055 1,4465 1,4465 19,99135325 19,96965575 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-28 13,8275 13,8125 1,4483 1,4483 20,02636825 20,00464375 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-29 13,7475 13,7325 1,4554 1,4554 20,0081115 19,9862805 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-09-30 13,6775 13,6625 1,4547 1,4547 19,89665925 19,87483875 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-03 13,6775 13,6625 1,4428 1,4428 19,733897 19,712255 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-04 13,7375 13,7225 1,455 1,455 19,9880625 19,9662375 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-05 13,7405 13,7255 1,4424 1,4424 19,8192972 19,7976612 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-06 13,6705 13,6555 1,4278 1,4278 19,5187399 19,4973229 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-07 13,5955 13,5805 1,3984 1,3984 19,0119472 18,9909712 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-10 13,5675 13,5525 1,4236 1,4236 19,314693 19,293339 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-11 13,5855 13,5705 1,4485 1,4485 19,67859675 19,65686925 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-12 13,5955 13,5805 1,4445 1,4445 19,63869975 19,61703225 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-13 13,6675 13,6525 1,4166 1,4166 19,3613805 19,3401315 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-14 13,7555 13,7405 1,3866 1,3866 19,0733763 19,0525773 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-17 13,8475 13,8325 1,3891 1,3891 19,23556225 19,21472575 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-18 13,8225 13,8075 1,4054 1,4054 19,4261415 19,4050605 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-19 13,8975 13,8825 1,3623 1,3623 18,93256425 18,91212975 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-20 13,9905 13,9755 1,362 1,362 19,055061 19,034631 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-21 14,0025 13,9875 1,3417 1,3417 18,78715425 18,76702875 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-24 14,1375 14,1225 1,3663 1,3663 19,31606625 19,29557175 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-25 14,1225 14,1075 1,3675 1,3675 19,31251875 19,29200625 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-26 13,9955 13,9805 1,3743 1,3743 19,23401565 19,21340115 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-27 14,0405 14,0255 1,3406 1,3406 18,8226943 18,8025853 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-28 13,9655 13,9505 1,3356 1,3356 18,6523218 18,6322878 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-10-31 14,0725 14,0575 1,3569 1,3569 19,09497525 19,07462175 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-01 14,1055 14,0905 1,3846 1,3846 19,5304753 19,5097063 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-02 14,0775 14,0625 1,3874 1,3874 19,5311235 19,5103125 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-03 14,2125 14,1975 1,3918 1,3918 19,7809575 19,7600805 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-04 14,1905 14,1755 1,4176 1,4176 20,1164528 20,0951888 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-07 14,2275 14,2125 1,4026 1,4026 19,9554915 19,9344525 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-08 14,1725 14,1575 1,4306 1,4306 20,2751785 20,2537195 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-09 14,1525 14,1375 1,4329 1,4329 20,27911725 20,25762375 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-10 14,2425 14,2275 1,4243 1,4243 20,28559275 20,26422825 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-11 14,3475 14,3325 1,4235 1,4235 20,42366625 20,40231375 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-14 14,1905 14,1755 1,4205 1,4205 20,15760525 20,13629775 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-15 14,2325 14,2175 1,4239 1,4239 20,26565675 20,24429825 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-16 14,2475 14,2325 1,4446 1,4446 20,5819385 20,5602695 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-17 14,1855 14,1705 1,4423 1,4423 20,45974665 20,43811215 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-18 14,0775 14,0625 1,4782 1,4782 20,8093605 20,7871875 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-21 13,9755 13,9605 1,4589 1,4589 20,38885695 20,36697345 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-22 13,9775 13,9625 1,4723 1,4723 20,57907325 20,55698875 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-23 13,8705 13,8555 1,466 1,466 20,334153 20,312163 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-24 13,8725 13,8575 1,484 1,484 20,58679 20,56453 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-25 13,8775 13,8625 1,488 1,488 20,64972 20,6274 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-28 13,8505 13,8355 1,4761 1,4761 20,44472305 20,42258155 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-29 13,8325 13,8175 1,4778 1,4778 20,4416685 20,4195015 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-11-30 13,9255 13,9105 1,4686 1,4686 20,4509893 20,4289603 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-01 13,9955 13,9805 1,4708 1,4708 20,5845814 20,5625194 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-02 14,0055 13,9905 1,4983 1,4983 20,98444065 20,96196615 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-05 13,9175 13,9025 1,4807 1,4807 20,60764225 20,58543175 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-06 13,9455 13,9305 1,4915 1,4915 20,79971325 20,77734075 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-07 13,9105 13,8955 1,5287 1,5287 21,26498135 21,24205085 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-08 13,8955 13,8805 1,5076 1,5076 20,9488558 20,9262418 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-12 14,0125 13,9975 1,5047 1,5047 21,08460875 21,06203825 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-13 14,0075 13,9925 1,5007 1,5007 21,02105525 20,99854475 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-14 13,9555 13,9405 1,5051 1,5051 21,00442305 20,98184655 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-15 13,9105 13,8955 1,4803 1,4803 20,59171315 20,56950865 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-16 13,9755 13,9605 1,4962 1,4962 20,9101431 20,8877001 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-19 13,9125 13,8975 1,5064 1,5064 20,95779 20,935194 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-20 13,8225 13,8075 1,5009 1,5009 20,74619025 20,72367675 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-21 13,9605 13,9455 1,5196 1,5196 21,2143758 21,1915818 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-22 13,8975 13,8825 1,5386 1,5386 21,3826935 21,3596145 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-23 13,8255 13,8105 1,5486 1,5486 21,4101693 21,3869403 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-28 13,7705 13,7555 1,5437 1,5437 21,25752085 21,23436535 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-29 13,6655 13,6505 1,5677 1,5677 21,42340435 21,39988885 863290 First State Investments (UK) Ltd First State Global Emerging Markets Leaders Fund GBP 2005-12-30 13,7405 13,7255 1,5689 1,5689 21,55747045 21,53393695 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-04 12,8005 12,7855 0,94 0,94 12,03247 12,01837 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-05 12,8355 12,8205 0,9361 0,9361 12,01531155 12,00127005 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-07 12,8955 12,8805 0,939 0,939 12,1088745 12,0947895 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-10 13,03576 13,02076 0,938 0,938 12,22754288 12,21347288 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-11 13,03576 13,02076 0,9416 0,9416 12,274471616 12,260347616 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-12 12,9275 12,9125 0,9409 0,9409 12,16348475 12,14937125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-13 12,9275 12,9125 0,9432 0,9432 12,193218 12,17907 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-14 12,9175 12,9025 0,9474 0,9474 12,2380395 12,2238285 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-17 12,9455 12,9305 0,9553 0,9553 12,36683615 12,35250665 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-18 12,9175 12,9025 0,9504 0,9504 12,276792 12,262536 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-19 12,9275 12,9125 0,951 0,951 12,2940525 12,2797875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-20 12,9955 12,9805 0,9502 0,9502 12,3483241 12,3340711 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-21 13,0555 13,0405 0,9447 0,9447 12,33353085 12,31936035 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-24 13,0525 13,0375 0,9383 0,9383 12,24716075 12,23308625 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-25 13,0575 13,0425 0,9362 0,9362 12,2244315 12,2103885 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-26 13,0755 13,0605 0,9384 0,9384 12,2700492 12,2559732 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-27 13,0475 13,0325 0,9383 0,9383 12,24246925 12,22839475 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-28 13,1705 13,1555 0,9404 0,9404 12,3855382 12,3714322 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-01-31 13,1875 13,1725 0,938 0,938 12,369875 12,355805 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-01 13,1555 13,1405 0,9423 0,9423 12,39642765 12,38229315 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-02 13,1025 13,0875 0,9478 0,9478 12,4185495 12,4043325 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-03 13,1225 13,1075 0,9456 0,9456 12,408636 12,394452 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-04 13,1855 13,1705 0,9474 0,9474 12,4919427 12,4777317 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-07 13,2305 13,2155 0,9628 0,9628 12,7383254 12,7238834 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-08 13,2175 13,2025 0,9641 0,9641 12,74299175 12,72853025 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-09 13,1775 13,1625 0,9636 0,9636 12,697839 12,683385 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-10 13,1855 13,1705 0,9656 0,9656 12,7319188 12,7174348 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-11 13,2155 13,2005 0,9667 0,9667 12,77542385 12,76092335 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-14 13,2175 13,2025 0,9635 0,9635 12,73506125 12,72060875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-15 13,2175 13,2025 0,9695 0,9695 12,81436625 12,79982375 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-16 13,1905 13,1755 0,9645 0,9645 12,72223725 12,70776975 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-17 13,1605 13,1455 0,9676 0,9676 12,7340998 12,7195858 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-18 13,2005 13,1855 0,9608 0,9608 12,6830404 12,6686284 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-21 13,2475 13,2325 0,9662 0,9662 12,7997345 12,7852415 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-22 13,1575 13,1425 0,9542 0,9542 12,5548865 12,5405735 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-23 13,1405 13,1255 0,9528 0,9528 12,5202684 12,5059764 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-24 13,0725 13,0575 0,9537 0,9537 12,46724325 12,45293775 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-25 13,1575 13,1425 0,9573 0,9573 12,59567475 12,58131525 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-02-28 13,1325 13,1175 0,9676 0,9676 12,707007 12,692493 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-01 13,1855 13,1705 0,9557 0,9557 12,60138235 12,58704685 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-02 13,2105 13,1955 0,9596 0,9596 12,6767958 12,6624018 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-03 13,1875 13,1725 0,9604 0,9604 12,665275 12,650869 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-04 13,1505 13,1355 0,9613 0,9613 12,64157565 12,62715615 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-07 13,1305 13,1155 0,9639 0,9639 12,65648895 12,64203045 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-08 13,0925 13,0775 0,9611 0,9611 12,58320175 12,56878525 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-09 13,0505 13,0355 0,9599 0,9599 12,52717495 12,51277645 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-10 13,0175 13,0025 0,95 0,95 12,366625 12,352375 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-11 12,9975 12,9825 0,9605 0,9605 12,48409875 12,46969125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-14 12,9805 12,9655 0,9536 0,9536 12,3782048 12,3639008 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-15 13,0475 13,0325 0,9575 0,9575 12,49298125 12,47861875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-16 13,0825 13,0675 0,9939 0,9939 13,00269675 12,98778825 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-17 13,0825 13,0675 0,9425 0,9425 12,33025625 12,31611875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-18 13,0955 13,0805 0,9546 0,9546 12,5009643 12,4866453 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-21 13,1805 13,1655 0,9512 0,9512 12,5372916 12,5230236 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-22 13,1605 13,1455 0,9431 0,9431 12,41166755 12,39752105 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-23 13,1455 13,1305 0,9463 0,9463 12,43958665 12,42539215 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-24 13,1205 13,1055 0,9445 0,9445 12,39231225 12,37814475 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-29 13,2125 13,1975 0,9445 0,9445 12,47920625 12,46503875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-30 13,2575 13,2425 0,9375 0,9375 12,42890625 12,41484375 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-03-31 13,2725 13,2575 0,9405 0,9405 12,48278625 12,46867875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-01 13,3525 13,3375 0,9491 0,9491 12,67285775 12,65862125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-04 13,3575 13,3425 0,9495 0,9495 12,68294625 12,66870375 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-05 13,4255 13,4105 0,9483 0,9483 12,73140165 12,71717715 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-06 13,4155 13,4005 0,953 0,953 12,7849715 12,7706765 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-07 13,3375 13,3225 0,95 0,95 12,670625 12,656375 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-08 13,3655 13,3505 0,9603 0,9603 12,83488965 12,82048515 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-11 13,3755 13,3605 0,9442 0,9442 12,6291471 12,6149841 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-12 13,3375 13,3225 0,9424 0,9424 12,56926 12,555124 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-13 13,3955 13,3805 0,9462 0,9462 12,6748221 12,6606291 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-14 13,4505 13,4355 0,9357 0,9357 12,58563285 12,57159735 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-15 13,4925 13,4775 0,9301 0,9301 12,54937425 12,53542275 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-18 13,4225 13,4075 0,9022 0,9022 12,1097795 12,0962465 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-19 13,4855 13,4705 0,9036 0,9036 12,1854978 12,1719438 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-20 13,5005 13,4855 0,9117 0,9117 12,30840585 12,29473035 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-21 13,4575 13,4425 0,9063 0,9063 12,19653225 12,18293775 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-22 13,4125 13,3975 0,915 0,915 12,2724375 12,2587125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-25 13,4775 13,4625 0,9117 0,9117 12,28743675 12,27376125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-26 13,4225 13,4075 0,9216 0,9216 12,370176 12,356352 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-27 13,4605 13,4455 0,9069 0,9069 12,20732745 12,19372395 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-28 13,4755 13,4605 0,908 0,908 12,235754 12,222134 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-04-29 13,5405 13,5255 0,8948 0,8948 12,1160394 12,1026174 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-03 13,5955 13,5805 0,915 0,915 12,4398825 12,4261575 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-04 13,4925 13,4775 0,9138 0,9138 12,3294465 12,3157395 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-06 13,4375 13,4225 0,9224 0,9224 12,39475 12,380914 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-09 13,5205 13,5055 0,9291 0,9291 12,56189655 12,54796005 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-10 13,4755 13,4605 0,9305 0,9305 12,53895275 12,52499525 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-11 13,4805 13,4655 0,9258 0,9258 12,4802469 12,4663599 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-12 13,4955 13,4805 0,9368 0,9368 12,6425844 12,6285324 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-13 13,5205 13,5055 0,9261 0,9261 12,52133505 12,50744355 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-16 13,4775 13,4625 0,9323 0,9323 12,56507325 12,55108875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-17 13,4375 13,4225 0,9329 0,9329 12,53584375 12,52185025 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-18 13,3805 13,3655 0,9432 0,9432 12,6204876 12,6063396 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-19 13,3505 13,3355 0,9464 0,9464 12,6349132 12,6207172 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-20 13,3655 13,3505 0,9531 0,9531 12,73865805 12,72436155 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-23 13,3775 13,3625 0,9522 0,9522 12,7380555 12,7237725 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-24 13,3605 13,3455 0,9538 0,9538 12,7432449 12,7289379 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-25 13,3405 13,3255 0,9615 0,9615 12,82689075 12,81246825 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-26 13,3655 13,3505 0,9591 0,9591 12,81885105 12,80446455 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-27 13,3855 13,3705 0,9651 0,9651 12,91834605 12,90386955 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-05-31 13,4475 13,4325 0,9655 0,9655 12,98356125 12,96907875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-01 13,5155 13,5005 0,969 0,969 13,0965195 13,0819845 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-02 13,5755 13,5605 0,9731 0,9731 13,21031905 13,19572255 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-03 13,5255 13,5105 0,9788 0,9788 13,2387594 13,2240774 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-07 13,6225 13,6075 0,9794 0,9794 13,3418765 13,3271855 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-08 13,6505 13,6355 0,9737 0,9737 13,29149185 13,27688635 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-09 13,7225 13,7075 0,9759 0,9759 13,39178775 13,37714925 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-10 13,6925 13,6775 0,9791 0,9791 13,40632675 13,39164025 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-13 13,8305 13,8155 0,983 0,983 13,5953815 13,5806365 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-14 13,8625 13,8475 0,9851 0,9851 13,65594875 13,64117225 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-15 13,9175 13,9025 0,9945 0,9945 13,84095375 13,82603625 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-16 13,9605 13,9455 0,9875 0,9875 13,78599375 13,77118125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-17 13,9355 13,9205 0,9906 0,9906 13,8045063 13,7896473 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-20 13,7705 13,7555 0,9967 0,9967 13,72505735 13,71010685 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-21 13,9325 13,9175 0,9947 0,9947 13,85865775 13,84373725 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-22 13,9175 13,9025 0,9951 0,9951 13,84930425 13,83437775 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-23 14,0705 14,0555 0,998 0,998 14,042359 14,027389 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-27 14,1125 14,0975 0,9748 0,9748 13,756865 13,742243 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-28 14,1355 14,1205 0,9846 0,9846 13,9178133 13,9030443 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-29 14,2175 14,2025 0,9907 0,9907 14,08527725 14,07041675 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-06-30 14,1205 14,1055 0,9998 0,9998 14,1176759 14,1026789 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-01 13,9625 13,9475 1,0093 1,0093 14,09235125 14,07721175 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-04 14,0055 13,9905 1,0198 1,0198 14,2828089 14,2675119 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-05 13,9575 13,9425 1,0195 1,0195 14,22967125 14,21437875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-06 13,8755 13,8605 1,0332 1,0332 14,3361666 14,3206686 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-07 13,7955 13,7805 1,0155 1,0155 14,00933025 13,99409775 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-08 13,7455 13,7305 1,0345 1,0345 14,21971975 14,20420225 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-11 13,7425 13,7275 1,0361 1,0361 14,23860425 14,22306275 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-12 13,7325 13,7175 1,0362 1,0362 14,2296165 14,2140735 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-13 13,6455 13,6305 1,0413 1,0413 14,20905915 14,19343965 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-14 13,6705 13,6555 1,0468 1,0468 14,3102794 14,2945774 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-15 13,6805 13,6655 1,0418 1,0418 14,2523449 14,2367179 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-18 13,6225 13,6075 1,0453 1,0453 14,23959925 14,22391975 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-19 13,7025 13,6875 1,0457 1,0457 14,32870425 14,31301875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-20 13,5825 13,5675 1,0591 1,0591 14,38522575 14,36933925 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-21 13,5825 13,5675 1,0562 1,0562 14,3458365 14,3299935 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-22 13,6105 13,5955 1,0568 1,0568 14,3835764 14,3677244 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-25 13,5875 13,5725 1,0616 1,0616 14,42449 14,408566 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-26 13,6305 13,6155 1,0628 1,0628 14,4864954 14,4705534 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-27 13,7055 13,6905 1,0533 1,0533 14,43600315 14,42020365 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-28 13,6655 13,6505 1,0607 1,0607 14,49499585 14,47908535 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-07-29 13,5975 13,5825 1,0574 1,0574 14,3779965 14,3621355 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-01 13,6055 13,5905 1,0581 1,0581 14,39597955 14,38010805 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-02 13,6355 13,6205 1,0602 1,0602 14,4563571 14,4404541 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-03 13,6005 13,5855 1,0573 1,0573 14,37980865 14,36394915 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-04 13,5175 13,5025 1,0627 1,0627 14,36504725 14,34910675 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-05 13,4275 13,4125 1,0551 1,0551 14,16735525 14,15152875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-08 13,4375 13,4225 1,0508 1,0508 14,120125 14,104363 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-09 13,4755 13,4605 1,0548 1,0548 14,2139574 14,1981354 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-10 13,5305 13,5155 1,0519 1,0519 14,23273295 14,21695445 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-11 13,5455 13,5305 1,0493 1,0493 14,21329315 14,19755365 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-12 13,5225 13,5075 1,0485 1,0485 14,17834125 14,16261375 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-15 13,6175 13,6025 1,0503 1,0503 14,30246025 14,28670575 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-16 13,6355 13,6205 1,0416 1,0416 14,2027368 14,1871128 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-17 13,7125 13,6975 1,0363 1,0363 14,21026375 14,19471925 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-18 13,7405 13,7255 1,0303 1,0303 14,15683715 14,14138265 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-19 13,7775 13,7625 1,042 1,042 14,356155 14,340525 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-22 13,8405 13,8255 1,038 1,038 14,366439 14,350869 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-23 13,7805 13,7655 1,0369 1,0369 14,28900045 14,27344695 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-24 13,7555 13,7405 1,0398 1,0398 14,3029689 14,2873719 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-25 13,7055 13,6905 1,0339 1,0339 14,17011645 14,15460795 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-26 13,6875 13,6725 1,0325 1,0325 14,13234375 14,11685625 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-30 13,6825 13,6675 1,0399 1,0399 14,22843175 14,21283325 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-08-31 13,6805 13,6655 1,0369 1,0369 14,18531045 14,16975695 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-01 13,6375 13,6225 1,0423 1,0423 14,21436625 14,19873175 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-02 13,6475 13,6325 1,0362 1,0362 14,1415395 14,1259965 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-05 13,6855 13,6705 1,0225 1,0225 13,99342375 13,97808625 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-06 13,7625 13,7475 1,0282 1,0282 14,1506025 14,1351795 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-07 13,7105 13,6955 1,0399 1,0399 14,25754895 14,24195045 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-08 13,7855 13,7705 1,0406 1,0406 14,3451913 14,3295823 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-09 13,8275 13,8125 1,0342 1,0342 14,3004005 14,2848875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-12 13,8055 13,7905 1,0442 1,0442 14,4157031 14,4000401 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-13 13,7805 13,7655 1,0403 1,0403 14,33585415 14,32024965 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-14 13,8805 13,8655 1,04 1,04 14,43572 14,42012 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-15 13,8955 13,8805 1,0456 1,0456 14,5291348 14,5134508 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-16 13,7905 13,7755 1,0458 1,0458 14,4221049 14,4064179 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-19 13,8555 13,8405 1,0485 1,0485 14,52749175 14,51176425 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-20 13,8775 13,8625 1,0462 1,0462 14,5186405 14,5029475 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-21 13,8375 13,8225 1,0372 1,0372 14,352255 14,336697 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-22 13,8355 13,8205 1,0347 1,0347 14,31559185 14,30007135 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-23 13,8055 13,7905 1,0447 1,0447 14,42260585 14,40693535 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-26 13,8325 13,8175 1,0583 1,0583 14,63893475 14,62306025 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-27 13,8205 13,8055 1,0665 1,0665 14,73956325 14,72356575 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-28 13,8275 13,8125 1,0585 1,0585 14,63640875 14,62053125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-29 13,7475 13,7325 1,0648 1,0648 14,638338 14,622366 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-09-30 13,6775 13,6625 1,0658 1,0658 14,5774795 14,5614925 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-03 13,6775 13,6625 1,0697 1,0697 14,63082175 14,61477625 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-04 13,7375 13,7225 1,0772 1,0772 14,798035 14,781877 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-05 13,7405 13,7255 1,0623 1,0623 14,59653315 14,58059865 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-06 13,6705 13,6555 1,0494 1,0494 14,3458227 14,3300817 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-07 13,5955 13,5805 1,0387 1,0387 14,12164585 14,10606535 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-10 13,5675 13,5525 1,0529 1,0529 14,28522075 14,26942725 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-11 13,5855 13,5705 1,0489 1,0489 14,24983095 14,23409745 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-12 13,5955 13,5805 1,0658 1,0658 14,4900839 14,4740969 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-13 13,6675 13,6525 1,0411 1,0411 14,22923425 14,21361775 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-14 13,7555 13,7405 1,0337 1,0337 14,21906035 14,20355485 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-17 13,8475 13,8325 1,0362 1,0362 14,3487795 14,3332365 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-18 13,8225 13,8075 1,0427 1,0427 14,41272075 14,39708025 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-19 13,8975 13,8825 1,0179 1,0179 14,14626525 14,13099675 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-20 13,9905 13,9755 1,0261 1,0261 14,35565205 14,34026055 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-21 14,0025 13,9875 1,0172 1,0172 14,243343 14,228085 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-24 14,1375 14,1225 1,0245 1,0245 14,48386875 14,46850125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-25 14,1225 14,1075 1,0278 1,0278 14,5151055 14,4996885 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-26 13,9955 13,9805 1,0296 1,0296 14,4097668 14,3943228 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-27 14,0405 14,0255 1,0209 1,0209 14,33394645 14,31863295 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-28 13,9655 13,9505 1,0099 1,0099 14,10375845 14,08860995 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-10-31 14,0725 14,0575 1,0324 1,0324 14,528449 14,512963 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-01 14,1055 14,0905 1,044 1,044 14,726142 14,710482 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-02 14,0775 14,0625 1,0527 1,0527 14,81938425 14,80359375 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-03 14,2125 14,1975 1,054 1,054 14,979975 14,964165 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-04 14,1905 14,1755 1,0679 1,0679 15,15403495 15,13801645 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-07 14,2275 14,2125 1,0746 1,0746 15,2888715 15,2727525 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-08 14,1725 14,1575 1,0739 1,0739 15,21984775 15,20373925 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-09 14,1525 14,1375 1,0776 1,0776 15,250734 15,23457 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-10 14,2425 14,2275 1,0758 1,0758 15,3220815 15,3059445 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-11 14,3475 14,3325 1,0735 1,0735 15,40204125 15,38593875 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-14 14,1905 14,1755 1,0789 1,0789 15,31013045 15,29394695 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-15 14,2325 14,2175 1,0834 1,0834 15,4194905 15,4032395 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-16 14,2475 14,2325 1,0799 1,0799 15,38587525 15,36967675 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-17 14,1855 14,1705 1,0924 1,0924 15,4962402 15,4798542 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-18 14,0775 14,0625 1,1085 1,1085 15,60490875 15,58828125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-21 13,9755 13,9605 1,101 1,101 15,3870255 15,3705105 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-22 13,9775 13,9625 1,106 1,106 15,459115 15,442525 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-23 13,8705 13,8555 1,11 1,11 15,396255 15,379605 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-24 13,8725 13,8575 1,1088 1,1088 15,381828 15,365196 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-25 13,8775 13,8625 1,1149 1,1149 15,47202475 15,45530125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-28 13,8505 13,8355 1,1184 1,1184 15,4903992 15,4736232 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-29 13,8325 13,8175 1,11 1,11 15,354075 15,337425 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-11-30 13,9255 13,9105 1,1049 1,1049 15,38628495 15,36971145 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-01 13,9955 13,9805 1,1009 1,1009 15,40764595 15,39113245 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-02 14,0055 13,9905 1,1147 1,1147 15,61193085 15,59521035 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-05 13,9175 13,9025 1,1201 1,1201 15,58899175 15,57219025 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-06 13,9455 13,9305 1,1179 1,1179 15,58967445 15,57290595 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-07 13,9105 13,8955 1,1188 1,1188 15,5630674 15,5462854 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-08 13,8955 13,8805 1,1087 1,1087 15,40594085 15,38931035 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-12 14,0125 13,9975 1,1155 1,1155 15,63094375 15,61421125 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-13 14,0075 13,9925 1,1149 1,1149 15,61696175 15,60023825 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-14 13,9555 13,9405 1,1177 1,1177 15,59806235 15,58129685 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-15 13,9105 13,8955 1,1226 1,1226 15,6159273 15,5990883 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-16 13,9755 13,9605 1,116 1,116 15,596658 15,579918 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-19 13,9125 13,8975 1,118 1,118 15,554175 15,537405 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-20 13,8225 13,8075 1,1149 1,1149 15,41070525 15,39398175 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-21 13,9605 13,9455 1,1302 1,1302 15,7781571 15,7612041 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-22 13,8975 13,8825 1,138 1,138 15,815355 15,798285 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-23 13,8255 13,8105 1,1455 1,1455 15,83711025 15,81992775 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-28 13,7705 13,7555 1,1424 1,1424 15,7314192 15,7142832 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-29 13,6655 13,6505 1,1548 1,1548 15,7809194 15,7635974 211094 First State Investments (UK) Ltd First State Global Growth Fund GBP 2005-12-30 13,7405 13,7255 1,1507 1,1507 15,81119335 15,79393285 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-04 12,8005 12,7855 1,2031 1,2031 15,40028155 15,38223505 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-05 12,8355 12,8205 1,1894 1,1894 15,2665437 15,2487027 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-07 12,8955 12,8805 1,1862 1,1862 15,2966421 15,2788491 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-10 13,03576 13,02076 1,1879 1,1879 15,485179304 15,467360804 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-11 13,03576 13,02076 1,1861 1,1861 15,461714936 15,443923436 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-12 12,9275 12,9125 1,1878 1,1878 15,3552845 15,3374675 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-13 12,9275 12,9125 1,2025 1,2025 15,54531875 15,52728125 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-14 12,9175 12,9025 1,2128 1,2128 15,666344 15,648152 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-17 12,9455 12,9305 1,2219 1,2219 15,81810645 15,79977795 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-18 12,9175 12,9025 1,2153 1,2153 15,69863775 15,68040825 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-19 12,9275 12,9125 1,2188 1,2188 15,756037 15,737755 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-20 12,9955 12,9805 1,2154 1,2154 15,7947307 15,7764997 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-21 13,0555 13,0405 1,2111 1,2111 15,81151605 15,79334955 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-24 13,0525 13,0375 1,2005 1,2005 15,66952625 15,65151875 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-25 13,0575 13,0425 1,2052 1,2052 15,736899 15,718821 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-26 13,0755 13,0605 1,2093 1,2093 15,81220215 15,79406265 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-27 13,0475 13,0325 1,2146 1,2146 15,8474935 15,8292745 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-28 13,1705 13,1555 1,224 1,224 16,120692 16,102332 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-01-31 13,1875 13,1725 1,2225 1,2225 16,12171875 16,10338125 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-01 13,1555 13,1405 1,2193 1,2193 16,04050115 16,02221165 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-02 13,1025 13,0875 1,2214 1,2214 16,0033935 15,9850725 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-03 13,1225 13,1075 1,2353 1,2353 16,21022425 16,19169475 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-04 13,1855 13,1705 1,2418 1,2418 16,3737539 16,3551269 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-07 13,2305 13,2155 1,2635 1,2635 16,71673675 16,69778425 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-08 13,2175 13,2025 1,2498 1,2498 16,5192315 16,5004845 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-09 13,1775 13,1625 1,2627 1,2627 16,63922925 16,62028875 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-10 13,1855 13,1705 1,2637 1,2637 16,66251635 16,64356085 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-11 13,2155 13,2005 1,2703 1,2703 16,78764965 16,76859515 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-14 13,2175 13,2025 1,2641 1,2641 16,70824175 16,68928025 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-15 13,2175 13,2025 1,2636 1,2636 16,701633 16,682679 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-16 13,1905 13,1755 1,2489 1,2489 16,47361545 16,45488195 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-17 13,1605 13,1455 1,2555 1,2555 16,52300775 16,50417525 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-18 13,2005 13,1855 1,2658 1,2658 16,7091929 16,6902059 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-21 13,2475 13,2325 1,2643 1,2643 16,74881425 16,72984975 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-22 13,1575 13,1425 1,2561 1,2561 16,52713575 16,50829425 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-23 13,1405 13,1255 1,253 1,253 16,4650465 16,4462515 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-24 13,0725 13,0575 1,266 1,266 16,549785 16,530795 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-25 13,1575 13,1425 1,2742 1,2742 16,7652865 16,7461735 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-02-28 13,1325 13,1175 1,2761 1,2761 16,75838325 16,73924175 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-01 13,1855 13,1705 1,2752 1,2752 16,8141496 16,7950216 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-02 13,2105 13,1955 1,289 1,289 17,0283345 17,0089995 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-03 13,1875 13,1725 1,2951 1,2951 17,07913125 17,05970475 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-04 13,1505 13,1355 1,3012 1,3012 17,1114306 17,0919126 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-07 13,1305 13,1155 1,2923 1,2923 16,96854515 16,94916065 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-08 13,0925 13,0775 1,3014 1,3014 17,0385795 17,0190585 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-09 13,0505 13,0355 1,2976 1,2976 16,9343288 16,9148648 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-10 13,0175 13,0025 1,2764 1,2764 16,615537 16,596391 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-11 12,9975 12,9825 1,2963 1,2963 16,84865925 16,82921475 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-14 12,9805 12,9655 1,2976 1,2976 16,8434968 16,8240328 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-15 13,0475 13,0325 1,2872 1,2872 16,794742 16,775434 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-16 13,0825 13,0675 1,3176 1,3176 17,237502 17,217738 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-17 13,0825 13,0675 1,2749 1,2749 16,67887925 16,65975575 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-18 13,0955 13,0805 1,2796 1,2796 16,7570018 16,7378078 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-21 13,1805 13,1655 1,2875 1,2875 16,96989375 16,95058125 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-22 13,1605 13,1455 1,2724 1,2724 16,7454202 16,7263342 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-23 13,1455 13,1305 1,2679 1,2679 16,66717945 16,64816095 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-24 13,1205 13,1055 1,26 1,26 16,53183 16,51293 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-29 13,2125 13,1975 1,248 1,248 16,4892 16,47048 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-30 13,2575 13,2425 1,2348 1,2348 16,370361 16,351839 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-03-31 13,2725 13,2575 1,2478 1,2478 16,5614255 16,5427085 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-01 13,3525 13,3375 1,2609 1,2609 16,83616725 16,81725375 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-04 13,3575 13,3425 1,2673 1,2673 16,92795975 16,90895025 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-05 13,4255 13,4105 1,2641 1,2641 16,97117455 16,95221305 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-06 13,4155 13,4005 1,2629 1,2629 16,94243495 16,92349145 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-07 13,3375 13,3225 1,2713 1,2713 16,95596375 16,93689425 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-08 13,3655 13,3505 1,2754 1,2754 17,0463587 17,0272277 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-11 13,3755 13,3605 1,2422 1,2422 16,6150461 16,5964131 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-12 13,3375 13,3225 1,2505 1,2505 16,67854375 16,65978625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-13 13,3955 13,3805 1,2512 1,2512 16,7604496 16,7416816 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-14 13,4505 13,4355 1,2414 1,2414 16,6974507 16,6788297 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-15 13,4925 13,4775 1,2146 1,2146 16,3879905 16,3697715 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-18 13,4225 13,4075 1,1597 1,1597 15,56607325 15,54867775 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-19 13,4855 13,4705 1,1749 1,1749 15,84411395 15,82649045 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-20 13,5005 13,4855 1,1961 1,1961 16,14794805 16,13000655 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-21 13,4575 13,4425 1,1865 1,1865 15,96732375 15,94952625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-22 13,4125 13,3975 1,2021 1,2021 16,12316625 16,10513475 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-25 13,4775 13,4625 1,1985 1,1985 16,15278375 16,13480625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-26 13,4225 13,4075 1,2093 1,2093 16,23182925 16,21368975 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-27 13,4605 13,4455 1,2026 1,2026 16,1875973 16,1695583 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-28 13,4755 13,4605 1,1972 1,1972 16,1328686 16,1149106 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-04-29 13,5405 13,5255 1,1727 1,1727 15,87894435 15,86135385 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-03 13,5955 13,5805 1,1962 1,1962 16,2629371 16,2449941 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-04 13,4925 13,4775 1,1955 1,1955 16,13028375 16,11235125 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-06 13,4375 13,4225 1,2148 1,2148 16,323875 16,305653 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-09 13,5205 13,5055 1,2111 1,2111 16,37467755 16,35651105 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-10 13,4755 13,4605 1,2327 1,2327 16,61124885 16,59275835 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-11 13,4805 13,4655 1,2308 1,2308 16,5917994 16,5733374 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-12 13,4955 13,4805 1,2343 1,2343 16,65749565 16,63898115 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-13 13,5205 13,5055 1,236 1,236 16,711338 16,692798 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-16 13,4775 13,4625 1,2445 1,2445 16,77274875 16,75408125 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-17 13,4375 13,4225 1,2243 1,2243 16,45153125 16,43316675 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-18 13,3805 13,3655 1,2356 1,2356 16,5329458 16,5144118 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-19 13,3505 13,3355 1,2563 1,2563 16,77223315 16,75338865 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-20 13,3655 13,3505 1,256 1,256 16,787068 16,768228 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-23 13,3775 13,3625 1,2583 1,2583 16,83290825 16,81403375 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-24 13,3605 13,3455 1,2487 1,2487 16,68325635 16,66452585 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-25 13,3405 13,3255 1,2663 1,2663 16,89307515 16,87408065 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-26 13,3655 13,3505 1,2674 1,2674 16,9394347 16,9204237 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-27 13,3855 13,3705 1,2583 1,2583 16,84297465 16,82410015 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-05-31 13,4475 13,4325 1,2844 1,2844 17,271969 17,252703 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-01 13,5155 13,5005 1,2898 1,2898 17,4322919 17,4129449 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-02 13,5755 13,5605 1,2908 1,2908 17,5232554 17,5038934 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-03 13,5255 13,5105 1,2916 1,2916 17,4695358 17,4501618 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-07 13,6225 13,6075 1,2774 1,2774 17,4013815 17,3822205 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-08 13,6505 13,6355 1,2746 1,2746 17,3989273 17,3798083 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-09 13,7225 13,7075 1,2868 1,2868 17,658113 17,638811 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-10 13,6925 13,6775 1,2945 1,2945 17,72494125 17,70552375 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-13 13,8305 13,8155 1,3043 1,3043 18,03912115 18,01955665 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-14 13,8625 13,8475 1,3206 1,3206 18,3068175 18,2870085 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-15 13,9175 13,9025 1,3322 1,3322 18,5408935 18,5209105 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-16 13,9605 13,9455 1,3301 1,3301 18,56886105 18,54890955 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-17 13,9355 13,9205 1,3351 1,3351 18,60528605 18,58525955 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-20 13,7705 13,7555 1,337 1,337 18,4111585 18,3911035 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-21 13,9325 13,9175 1,3455 1,3455 18,74617875 18,72599625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-22 13,9175 13,9025 1,3288 1,3288 18,493574 18,473642 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-23 14,0705 14,0555 1,3516 1,3516 19,0176878 18,9974138 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-27 14,1125 14,0975 1,3227 1,3227 18,66660375 18,64676325 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-28 14,1355 14,1205 1,3477 1,3477 19,05041335 19,03019785 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-29 14,2175 14,2025 1,3585 1,3585 19,31447375 19,29409625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-06-30 14,1205 14,1055 1,3744 1,3744 19,4072152 19,3865992 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-01 13,9625 13,9475 1,3902 1,3902 19,4106675 19,3898145 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-04 14,0055 13,9905 1,4101 1,4101 19,74915555 19,72800405 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-05 13,9575 13,9425 1,4114 1,4114 19,6996155 19,6784445 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-06 13,8755 13,8605 1,4281 1,4281 19,81560155 19,79418005 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-07 13,7955 13,7805 1,4152 1,4152 19,5233916 19,5021636 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-08 13,7455 13,7305 1,4217 1,4217 19,54197735 19,52065185 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-11 13,7425 13,7275 1,448 1,448 19,89914 19,87742 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-12 13,7325 13,7175 1,436 1,436 19,71987 19,69833 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-13 13,6455 13,6305 1,4457 1,4457 19,72729935 19,70561385 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-14 13,6705 13,6555 1,4561 1,4561 19,90561505 19,88377355 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-15 13,6805 13,6655 1,4483 1,4483 19,81346815 19,79174365 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-18 13,6225 13,6075 1,4626 1,4626 19,9242685 19,9023295 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-19 13,7025 13,6875 1,4643 1,4643 20,06457075 20,04260625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-20 13,5825 13,5675 1,4819 1,4819 20,12790675 20,10567825 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-21 13,5825 13,5675 1,4819 1,4819 20,12790675 20,10567825 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-22 13,6105 13,5955 1,4839 1,4839 20,19662095 20,17436245 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-25 13,5875 13,5725 1,5094 1,5094 20,5089725 20,4863315 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-26 13,6305 13,6155 1,5115 1,5115 20,60250075 20,57982825 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-27 13,7055 13,6905 1,5164 1,5164 20,7830202 20,7602742 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-28 13,6655 13,6505 1,5215 1,5215 20,79205825 20,76923575 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-07-29 13,5975 13,5825 1,5193 1,5193 20,65868175 20,63589225 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-01 13,6055 13,5905 1,5135 1,5135 20,59192425 20,56922175 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-02 13,6355 13,6205 1,526 1,526 20,807773 20,784883 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-03 13,6005 13,5855 1,5244 1,5244 20,7326022 20,7097362 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-04 13,5175 13,5025 1,5207 1,5207 20,55606225 20,53325175 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-05 13,4275 13,4125 1,5205 1,5205 20,41651375 20,39370625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-08 13,4375 13,4225 1,5007 1,5007 20,16565625 20,14314575 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-09 13,4755 13,4605 1,5142 1,5142 20,4046021 20,3818891 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-10 13,5305 13,5155 1,5166 1,5166 20,5203563 20,4976073 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-11 13,5455 13,5305 1,5206 1,5206 20,5972873 20,5744783 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-12 13,5225 13,5075 1,5246 1,5246 20,6164035 20,5935345 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-15 13,6175 13,6025 1,5233 1,5233 20,74353775 20,72068825 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-16 13,6355 13,6205 1,5285 1,5285 20,84186175 20,81893425 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-17 13,7125 13,6975 1,5206 1,5206 20,8512275 20,8284185 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-18 13,7405 13,7255 1,5175 1,5175 20,85120875 20,82844625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-19 13,7775 13,7625 1,5203 1,5203 20,94593325 20,92312875 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-22 13,8405 13,8255 1,5278 1,5278 21,1455159 21,1225989 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-23 13,7805 13,7655 1,5246 1,5246 21,0097503 20,9868813 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-24 13,7555 13,7405 1,5224 1,5224 20,9413732 20,9185372 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-25 13,7055 13,6905 1,5241 1,5241 20,88855255 20,86569105 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-26 13,6875 13,6725 1,5381 1,5381 21,05274375 21,02967225 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-30 13,6825 13,6675 1,551 1,551 21,2215575 21,1982925 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-08-31 13,6805 13,6655 1,5566 1,5566 21,2950663 21,2717173 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-01 13,6375 13,6225 1,5626 1,5626 21,3099575 21,2865185 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-02 13,6475 13,6325 1,5527 1,5527 21,19047325 21,16718275 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-05 13,6855 13,6705 1,5358 1,5358 21,0181909 20,9951539 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-06 13,7625 13,7475 1,538 1,538 21,166725 21,143655 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-07 13,7105 13,6955 1,553 1,553 21,2924065 21,2691115 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-08 13,7855 13,7705 1,5652 1,5652 21,5770646 21,5535866 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-09 13,8275 13,8125 1,5645 1,5645 21,63312375 21,60965625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-12 13,8055 13,7905 1,5878 1,5878 21,9203729 21,8965559 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-13 13,7805 13,7655 1,587 1,587 21,8696535 21,8458485 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-14 13,8805 13,8655 1,5802 1,5802 21,9339661 21,9102631 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-15 13,8955 13,8805 1,5961 1,5961 22,17860755 22,15466605 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-16 13,7905 13,7755 1,5921 1,5921 21,95585505 21,93197355 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-19 13,8555 13,8405 1,6014 1,6014 22,1881977 22,1641767 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-20 13,8775 13,8625 1,6224 1,6224 22,514856 22,49052 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-21 13,8375 13,8225 1,6072 1,6072 22,23963 22,215522 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-22 13,8355 13,8205 1,606 1,606 22,219813 22,195723 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-23 13,8055 13,7905 1,6133 1,6133 22,27241315 22,24821365 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-26 13,8325 13,8175 1,6379 1,6379 22,65625175 22,63168325 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-27 13,8205 13,8055 1,6555 1,6555 22,87983775 22,85500525 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-28 13,8275 13,8125 1,6741 1,6741 23,14861775 23,12350625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-29 13,7475 13,7325 1,6885 1,6885 23,21265375 23,18732625 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-09-30 13,6775 13,6625 1,6926 1,6926 23,1505365 23,1251475 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-03 13,6775 13,6625 1,6971 1,6971 23,21208525 23,18662875 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-04 13,7375 13,7225 1,7024 1,7024 23,38672 23,361184 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-05 13,7405 13,7255 1,6703 1,6703 22,95075715 22,92570265 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-06 13,6705 13,6555 1,6055 1,6055 21,94798775 21,92390525 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-07 13,5955 13,5805 1,5958 1,5958 21,6956989 21,6717619 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-10 13,5675 13,5525 1,6278 1,6278 22,0851765 22,0607595 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-11 13,5855 13,5705 1,6299 1,6299 22,14300645 22,11855795 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-12 13,5955 13,5805 1,6336 1,6336 22,2096088 22,1851048 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-13 13,6675 13,6525 1,6132 1,6132 22,048411 22,024213 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-14 13,7555 13,7405 1,5853 1,5853 21,80659415 21,78281465 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-17 13,8475 13,8325 1,5992 1,5992 22,144922 22,120934 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-18 13,8225 13,8075 1,5957 1,5957 22,05656325 22,03262775 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-19 13,8975 13,8825 1,5628 1,5628 21,719013 21,695571 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-20 13,9905 13,9755 1,5672 1,5672 21,9259116 21,9024036 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-21 14,0025 13,9875 1,5612 1,5612 21,860703 21,837285 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-24 14,1375 14,1225 1,5488 1,5488 21,89616 21,872928 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-25 14,1225 14,1075 1,5732 1,5732 22,217517 22,193919 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-26 13,9955 13,9805 1,5837 1,5837 22,16467335 22,14091785 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-27 14,0405 14,0255 1,5604 1,5604 21,9087962 21,8853902 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-28 13,9655 13,9505 1,5474 1,5474 21,6102147 21,5870037 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-10-31 14,0725 14,0575 1,5896 1,5896 22,369646 22,345802 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-01 14,1055 14,0905 1,6219 1,6219 22,87771045 22,85338195 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-02 14,0775 14,0625 1,6432 1,6432 23,132148 23,1075 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-03 14,2125 14,1975 1,65 1,65 23,450625 23,425875 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-04 14,1905 14,1755 1,6743 1,6743 23,75915415 23,73403965 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-07 14,2275 14,2125 1,6944 1,6944 24,107076 24,08166 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-08 14,1725 14,1575 1,7053 1,7053 24,16836425 24,14278475 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-09 14,1525 14,1375 1,6912 1,6912 23,934708 23,90934 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-10 14,2425 14,2275 1,6772 1,6772 23,887521 23,862363 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-11 14,3475 14,3325 1,692 1,692 24,27597 24,25059 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-14 14,1905 14,1755 1,6863 1,6863 23,92944015 23,90414565 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-15 14,2325 14,2175 1,6914 1,6914 24,0728505 24,0474795 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-16 14,2475 14,2325 1,6954 1,6954 24,1552115 24,1297805 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-17 14,1855 14,1705 1,7217 1,7217 24,42317535 24,39734985 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-18 14,0775 14,0625 1,7461 1,7461 24,58072275 24,55453125 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-21 13,9755 13,9605 1,7333 1,7333 24,22373415 24,19773465 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-22 13,9775 13,9625 1,7431 1,7431 24,36418025 24,33803375 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-23 13,8705 13,8555 1,763 1,763 24,4536915 24,4272465 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-24 13,8725 13,8575 1,7608 1,7608 24,426698 24,400286 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-25 13,8775 13,8625 1,7634 1,7634 24,4715835 24,4451325 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-28 13,8505 13,8355 1,7798 1,7798 24,6511199 24,6244229 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-29 13,8325 13,8175 1,7519 1,7519 24,23315675 24,20687825 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-11-30 13,9255 13,9105 1,7461 1,7461 24,31531555 24,28912405 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-01 13,9955 13,9805 1,7537 1,7537 24,54390835 24,51760285 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-02 14,0055 13,9905 1,781 1,781 24,9437955 24,9170805 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-05 13,9175 13,9025 1,7775 1,7775 24,73835625 24,71169375 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-06 13,9455 13,9305 1,7787 1,7787 24,80486085 24,77818035 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-07 13,9105 13,8955 1,7883 1,7883 24,87614715 24,84932265 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-08 13,8955 13,8805 1,7696 1,7696 24,5894768 24,5629328 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-12 14,0125 13,9975 1,7799 1,7799 24,94084875 24,91415025 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-13 14,0075 13,9925 1,7931 1,7931 25,11684825 25,08995175 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-14 13,9555 13,9405 1,7924 1,7924 25,0138382 24,9869522 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-15 13,9105 13,8955 1,7927 1,7927 24,93735335 24,91046285 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-16 13,9755 13,9605 1,7891 1,7891 25,00356705 24,97673055 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-19 13,9125 13,8975 1,7873 1,7873 24,86581125 24,83900175 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-20 13,8225 13,8075 1,7847 1,7847 24,66901575 24,64224525 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-21 13,9605 13,9455 1,8129 1,8129 25,30899045 25,28179695 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-22 13,8975 13,8825 1,8258 1,8258 25,3740555 25,3466685 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-23 13,8255 13,8105 1,8325 1,8325 25,33522875 25,30774125 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-28 13,7705 13,7555 1,8295 1,8295 25,19312975 25,16568725 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-29 13,6655 13,6505 1,8553 1,8553 25,35360215 25,32577265 175265 First State Investments (UK) Ltd First State Global Opportunities Fund GBP 2005-12-30 13,7405 13,7255 1,8509 1,8509 25,43229145 25,40452795 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-04 12,8005 12,7855 1,2341 1,2341 15,79709705 15,77858555 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-05 12,8355 12,8205 1,2147 1,2147 15,59128185 15,57306135 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-07 12,8955 12,8805 1,2176 1,2176 15,7015608 15,6832968 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-10 13,03576 13,02076 1,2309 1,2309 16,045716984 16,027253484 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-11 13,03576 13,02076 1,2372 1,2372 16,127842272 16,109284272 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-12 12,9275 12,9125 1,2364 1,2364 15,983561 15,965015 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-13 12,9275 12,9125 1,2464 1,2464 16,112836 16,09414 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-14 12,9175 12,9025 1,2588 1,2588 16,260549 16,241667 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-17 12,9455 12,9305 1,2759 1,2759 16,51716345 16,49802495 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-18 12,9175 12,9025 1,2601 1,2601 16,27734175 16,25844025 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-19 12,9275 12,9125 1,268 1,268 16,39207 16,37305 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-20 12,9955 12,9805 1,263 1,263 16,4133165 16,3943715 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-21 13,0555 13,0405 1,2627 1,2627 16,48517985 16,46623935 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-24 13,0525 13,0375 1,2777 1,2777 16,67717925 16,65801375 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-25 13,0575 13,0425 1,2745 1,2745 16,64178375 16,62266625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-26 13,0755 13,0605 1,2685 1,2685 16,58627175 16,56724425 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-27 13,0475 13,0325 1,2753 1,2753 16,63947675 16,62034725 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-28 13,1705 13,1555 1,2766 1,2766 16,8134603 16,7943113 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-01-31 13,1875 13,1725 1,2774 1,2774 16,8457125 16,8265515 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-01 13,1555 13,1405 1,2927 1,2927 17,00611485 16,98672435 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-02 13,1025 13,0875 1,3045 1,3045 17,09221125 17,07264375 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-03 13,1225 13,1075 1,3041 1,3041 17,11305225 17,09349075 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-04 13,1855 13,1705 1,2983 1,2983 17,11873465 17,09926015 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-07 13,2305 13,2155 1,3084 1,3084 17,3107862 17,2911602 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-08 13,2175 13,2025 1,3056 1,3056 17,256768 17,237184 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-09 13,1775 13,1625 1,2956 1,2956 17,072769 17,053335 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-10 13,1855 13,1705 1,2828 1,2828 16,9143594 16,8951174 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-11 13,2155 13,2005 1,3176 1,3176 17,4127428 17,3929788 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-14 13,2175 13,2025 1,3305 1,3305 17,58588375 17,56592625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-15 13,2175 13,2025 1,3145 1,3145 17,37440375 17,35468625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-16 13,1905 13,1755 1,3348 1,3348 17,6066794 17,5866574 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-17 13,1605 13,1455 1,3519 1,3519 17,79167995 17,77140145 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-18 13,2005 13,1855 1,3571 1,3571 17,91439855 17,89404205 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-21 13,2475 13,2325 1,3681 1,3681 18,12390475 18,10338325 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-22 13,1575 13,1425 1,3605 1,3605 17,90077875 17,88037125 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-23 13,1405 13,1255 1,362 1,362 17,897361 17,876931 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-24 13,0725 13,0575 1,3612 1,3612 17,794287 17,773869 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-25 13,1575 13,1425 1,3778 1,3778 18,1284035 18,1077365 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-02-28 13,1325 13,1175 1,3954 1,3954 18,3250905 18,3041595 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-01 13,1855 13,1705 1,3794 1,3794 18,1880787 18,1673877 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-02 13,2105 13,1955 1,3618 1,3618 17,9900589 17,9696319 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-03 13,1875 13,1725 1,374 1,374 18,119625 18,099015 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-04 13,1505 13,1355 1,3874 1,3874 18,2450037 18,2241927 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-07 13,1305 13,1155 1,413 1,413 18,5533965 18,5322015 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-08 13,0925 13,0775 1,4035 1,4035 18,37532375 18,35427125 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-09 13,0505 13,0355 1,4289 1,4289 18,64785945 18,62642595 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-10 13,0175 13,0025 1,414 1,414 18,406745 18,385535 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-11 12,9975 12,9825 1,4054 1,4054 18,2666865 18,2456055 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-14 12,9805 12,9655 1,4102 1,4102 18,3051011 18,2839481 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-15 13,0475 13,0325 1,4013 1,4013 18,28346175 18,26244225 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-16 13,0825 13,0675 1,4115 1,4115 18,46594875 18,44477625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-17 13,0825 13,0675 1,3822 1,3822 18,0826315 18,0618985 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-18 13,0955 13,0805 1,4231 1,4231 18,63620605 18,61485955 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-21 13,1805 13,1655 1,4276 1,4276 18,8164818 18,7950678 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-22 13,1605 13,1455 1,4142 1,4142 18,6115791 18,5903661 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-23 13,1455 13,1305 1,3996 1,3996 18,3984418 18,3774478 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-24 13,1205 13,1055 1,3538 1,3538 17,7625329 17,7422259 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-29 13,2125 13,1975 1,3463 1,3463 17,78798875 17,76779425 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-30 13,2575 13,2425 1,3009 1,3009 17,24668175 17,22716825 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-03-31 13,2725 13,2575 1,3387 1,3387 17,76789575 17,74781525 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-01 13,3525 13,3375 1,3554 1,3554 18,0979785 18,0776475 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-04 13,3575 13,3425 1,3671 1,3671 18,26103825 18,24053175 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-05 13,4255 13,4105 1,3531 1,3531 18,16604405 18,14574755 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-06 13,4155 13,4005 1,3471 1,3471 18,07202005 18,05181355 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-07 13,3375 13,3225 1,3402 1,3402 17,8749175 17,8548145 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-08 13,3655 13,3505 1,3679 1,3679 18,28266745 18,26214895 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-11 13,3755 13,3605 1,3459 1,3459 18,00208545 17,98189695 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-12 13,3375 13,3225 1,3414 1,3414 17,8909225 17,8708015 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-13 13,3955 13,3805 1,3091 1,3091 17,53604905 17,51641255 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-14 13,4505 13,4355 1,2778 1,2778 17,1870489 17,1678819 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-15 13,4925 13,4775 1,2642 1,2642 17,0572185 17,0382555 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-18 13,4225 13,4075 1,2094 1,2094 16,2331715 16,2150305 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-19 13,4855 13,4705 1,2214 1,2214 16,4711897 16,4528687 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-20 13,5005 13,4855 1,2672 1,2672 17,1078336 17,0888256 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-21 13,4575 13,4425 1,2468 1,2468 16,778811 16,760109 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-22 13,4125 13,3975 1,2745 1,2745 17,09423125 17,07511375 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-25 13,4775 13,4625 1,273 1,273 17,1568575 17,1377625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-26 13,4225 13,4075 1,2777 1,2777 17,14992825 17,13076275 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-27 13,4605 13,4455 1,2658 1,2658 17,0383009 17,0193139 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-28 13,4755 13,4605 1,2332 1,2332 16,6179866 16,5994886 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-04-29 13,5405 13,5255 1,2043 1,2043 16,30682415 16,28875965 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-03 13,5955 13,5805 1,2432 1,2432 16,9019256 16,8832776 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-04 13,4925 13,4775 1,2121 1,2121 16,35425925 16,33607775 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-06 13,4375 13,4225 1,2558 1,2558 16,8748125 16,8559755 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-09 13,5205 13,5055 1,2646 1,2646 17,0980243 17,0790553 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-10 13,4755 13,4605 1,2602 1,2602 16,9818251 16,9629221 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-11 13,4805 13,4655 1,2626 1,2626 17,0204793 17,0015403 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-12 13,4955 13,4805 1,2605 1,2605 17,01107775 16,99217025 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-13 13,5205 13,5055 1,2079 1,2079 16,33141195 16,31329345 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-16 13,4775 13,4625 1,21 1,21 16,307775 16,289625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-17 13,4375 13,4225 1,2069 1,2069 16,21771875 16,19961525 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-18 13,3805 13,3655 1,2248 1,2248 16,3884364 16,3700644 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-19 13,3505 13,3355 1,2185 1,2185 16,26758425 16,24930675 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-20 13,3655 13,3505 1,2404 1,2404 16,5785662 16,5599602 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-23 13,3775 13,3625 1,2219 1,2219 16,34596725 16,32763875 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-24 13,3605 13,3455 1,2322 1,2322 16,4628081 16,4443251 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-25 13,3405 13,3255 1,2647 1,2647 16,87173035 16,85275985 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-26 13,3655 13,3505 1,2538 1,2538 16,7576639 16,7388569 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-27 13,3855 13,3705 1,2862 1,2862 17,2164301 17,1971371 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-05-31 13,4475 13,4325 1,2766 1,2766 17,1670785 17,1479295 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-01 13,5155 13,5005 1,2725 1,2725 17,19847375 17,17938625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-02 13,5755 13,5605 1,3091 1,3091 17,77168705 17,75205055 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-03 13,5255 13,5105 1,3233 1,3233 17,89829415 17,87844465 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-07 13,6225 13,6075 1,3184 1,3184 17,959904 17,940128 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-08 13,6505 13,6355 1,3046 1,3046 17,8084423 17,7888733 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-09 13,7225 13,7075 1,3051 1,3051 17,90923475 17,88965825 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-10 13,6925 13,6775 1,3128 1,3128 17,975514 17,955822 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-13 13,8305 13,8155 1,3292 1,3292 18,3835006 18,3635626 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-14 13,8625 13,8475 1,3368 1,3368 18,53139 18,511338 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-15 13,9175 13,9025 1,3444 1,3444 18,710687 18,690521 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-16 13,9605 13,9455 1,3605 1,3605 18,99326025 18,97285275 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-17 13,9355 13,9205 1,3849 1,3849 19,29927395 19,27850045 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-20 13,7705 13,7555 1,3927 1,3927 19,17817535 19,15728485 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-21 13,9325 13,9175 1,3851 1,3851 19,29790575 19,27712925 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-22 13,9175 13,9025 1,3537 1,3537 18,84011975 18,81981425 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-23 14,0705 14,0555 1,3715 1,3715 19,29769075 19,27711825 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-27 14,1125 14,0975 1,3506 1,3506 19,0603425 19,0400835 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-28 14,1355 14,1205 1,3738 1,3738 19,4193499 19,3987429 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-29 14,2175 14,2025 1,3738 1,3738 19,5320015 19,5113945 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-06-30 14,1205 14,1055 1,3888 1,3888 19,6105504 19,5897184 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-01 13,9625 13,9475 1,3955 1,3955 19,48466875 19,46373625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-04 14,0055 13,9905 1,4124 1,4124 19,7813682 19,7601822 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-05 13,9575 13,9425 1,4172 1,4172 19,780569 19,759311 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-06 13,8755 13,8605 1,4272 1,4272 19,8031136 19,7817056 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-07 13,7955 13,7805 1,4375 1,4375 19,83103125 19,80946875 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-08 13,7455 13,7305 1,4507 1,4507 19,94059685 19,91883635 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-11 13,7425 13,7275 1,4615 1,4615 20,08466375 20,06274125 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-12 13,7325 13,7175 1,4547 1,4547 19,97666775 19,95484725 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-13 13,6455 13,6305 1,465 1,465 19,9906575 19,9686825 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-14 13,6705 13,6555 1,447 1,447 19,7812135 19,7595085 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-15 13,6805 13,6655 1,4494 1,4494 19,8285167 19,8067757 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-18 13,6225 13,6075 1,452 1,452 19,77987 19,75809 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-19 13,7025 13,6875 1,4515 1,4515 19,88917875 19,86740625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-20 13,5825 13,5675 1,4799 1,4799 20,10074175 20,07854325 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-21 13,5825 13,5675 1,4967 1,4967 20,32892775 20,30647725 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-22 13,6105 13,5955 1,5023 1,5023 20,44705415 20,42451965 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-25 13,5875 13,5725 1,5224 1,5224 20,68561 20,662774 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-26 13,6305 13,6155 1,4979 1,4979 20,41712595 20,39465745 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-27 13,7055 13,6905 1,5184 1,5184 20,8104312 20,7876552 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-28 13,6655 13,6505 1,5285 1,5285 20,88771675 20,86478925 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-07-29 13,5975 13,5825 1,515 1,515 20,6002125 20,5774875 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-01 13,6055 13,5905 1,5261 1,5261 20,76335355 20,74046205 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-02 13,6355 13,6205 1,5162 1,5162 20,6741451 20,6514021 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-03 13,6005 13,5855 1,5789 1,5789 21,47382945 21,45014595 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-04 13,5175 13,5025 1,5872 1,5872 21,454976 21,431168 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-05 13,4275 13,4125 1,5896 1,5896 21,344354 21,32051 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-08 13,4375 13,4225 1,5829 1,5829 21,27021875 21,24647525 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-09 13,4755 13,4605 1,6071 1,6071 21,65647605 21,63236955 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-10 13,5305 13,5155 1,5775 1,5775 21,34436375 21,32070125 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-11 13,5455 13,5305 1,6079 1,6079 21,77980945 21,75569095 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-12 13,5225 13,5075 1,607 1,607 21,7306575 21,7065525 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-15 13,6175 13,6025 1,608 1,608 21,89694 21,87282 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-16 13,6355 13,6205 1,5786 1,5786 21,5250003 21,5013213 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-17 13,7125 13,6975 1,5718 1,5718 21,5533075 21,5297305 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-18 13,7405 13,7255 1,5448 1,5448 21,2263244 21,2031524 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-19 13,7775 13,7625 1,5464 1,5464 21,305526 21,28233 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-22 13,8405 13,8255 1,5643 1,5643 21,65069415 21,62722965 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-23 13,7805 13,7655 1,5768 1,5768 21,7290924 21,7054404 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-24 13,7555 13,7405 1,562 1,562 21,486091 21,462661 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-25 13,7055 13,6905 1,5479 1,5479 21,21474345 21,19152495 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-26 13,6875 13,6725 1,5618 1,5618 21,3771375 21,3537105 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-30 13,6825 13,6675 1,5449 1,5449 21,13809425 21,11492075 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-08-31 13,6805 13,6655 1,5528 1,5528 21,2430804 21,2197884 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-01 13,6375 13,6225 1,5845 1,5845 21,60861875 21,58485125 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-02 13,6475 13,6325 1,5662 1,5662 21,3747145 21,3512215 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-05 13,6855 13,6705 1,5734 1,5734 21,5327657 21,5091647 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-06 13,7625 13,7475 1,5784 1,5784 21,72273 21,699054 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-07 13,7105 13,6955 1,5954 1,5954 21,8737317 21,8498007 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-08 13,7855 13,7705 1,593 1,593 21,9603015 21,9364065 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-09 13,8275 13,8125 1,5795 1,5795 21,84053625 21,81684375 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-12 13,8055 13,7905 1,6194 1,6194 22,3566267 22,3323357 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-13 13,7805 13,7655 1,609 1,609 22,1728245 22,1486895 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-14 13,8805 13,8655 1,6043 1,6043 22,26848615 22,24442165 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-15 13,8955 13,8805 1,6322 1,6322 22,6802351 22,6557521 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-16 13,7905 13,7755 1,6558 1,6558 22,8343099 22,8094729 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-19 13,8555 13,8405 1,681 1,681 23,2910955 23,2658805 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-20 13,8775 13,8625 1,7054 1,7054 23,6666885 23,6411075 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-21 13,8375 13,8225 1,6791 1,6791 23,23454625 23,20935975 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-22 13,8355 13,8205 1,7147 1,7147 23,72373185 23,69801135 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-23 13,8055 13,7905 1,7087 1,7087 23,58945785 23,56382735 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-26 13,8325 13,8175 1,7195 1,7195 23,78498375 23,75919125 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-27 13,8205 13,8055 1,7394 1,7394 24,0393777 24,0132867 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-28 13,8275 13,8125 1,7474 1,7474 24,1621735 24,1359625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-29 13,7475 13,7325 1,7643 1,7643 24,25471425 24,22824975 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-09-30 13,6775 13,6625 1,7809 1,7809 24,35825975 24,33154625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-03 13,6775 13,6625 1,778 1,778 24,318595 24,291925 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-04 13,7375 13,7225 1,7796 1,7796 24,447255 24,420561 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-05 13,7405 13,7255 1,7307 1,7307 23,78068335 23,75472285 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-06 13,6705 13,6555 1,654 1,654 22,611007 22,586197 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-07 13,5955 13,5805 1,6417 1,6417 22,31973235 22,29510685 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-10 13,5675 13,5525 1,6933 1,6933 22,97384775 22,94844825 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-11 13,5855 13,5705 1,6974 1,6974 23,0600277 23,0345667 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-12 13,5955 13,5805 1,7145 1,7145 23,30948475 23,28376725 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-13 13,6675 13,6525 1,6795 1,6795 22,95456625 22,92937375 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-14 13,7555 13,7405 1,6521 1,6521 22,72546155 22,70068005 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-17 13,8475 13,8325 1,6566 1,6566 22,9397685 22,9149195 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-18 13,8225 13,8075 1,688 1,688 23,33238 23,30706 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-20 13,9905 13,9755 1,6295 1,6295 22,79751975 22,77307725 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-21 14,0025 13,9875 1,5851 1,5851 22,19536275 22,17158625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-24 14,1375 14,1225 1,5837 1,5837 22,38955875 22,36580325 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-25 14,1225 14,1075 1,625 1,625 22,9490625 22,9246875 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-26 13,9955 13,9805 1,6467 1,6467 23,04638985 23,02168935 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-27 14,0405 14,0255 1,6368 1,6368 22,9814904 22,9569384 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-28 13,9655 13,9505 1,6112 1,6112 22,5012136 22,4770456 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-10-31 14,0725 14,0575 1,6331 1,6331 22,98179975 22,95730325 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-01 14,1055 14,0905 1,6309 1,6309 23,00465995 22,98019645 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-02 14,0775 14,0625 1,6545 1,6545 23,29122375 23,26640625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-03 14,2125 14,1975 1,6736 1,6736 23,78604 23,760936 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-04 14,1905 14,1755 1,6923 1,6923 24,01458315 23,98919865 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-07 14,2275 14,2125 1,6803 1,6803 23,90646825 23,88126375 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-08 14,1725 14,1575 1,6932 1,6932 23,996877 23,971479 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-09 14,1525 14,1375 1,6917 1,6917 23,94178425 23,91640875 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-10 14,2425 14,2275 1,6932 1,6932 24,115401 24,090003 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-11 14,3475 14,3325 1,6816 1,6816 24,126756 24,101532 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-14 14,1905 14,1755 1,6981 1,6981 24,09688805 24,07141655 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-15 14,2325 14,2175 1,7015 1,7015 24,21659875 24,19107625 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-16 14,2475 14,2325 1,6958 1,6958 24,1609105 24,1354735 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-17 14,1855 14,1705 1,7339 1,7339 24,59623845 24,57022995 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-18 14,0775 14,0625 1,7624 1,7624 24,810186 24,78375 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-21 13,9755 13,9605 1,7353 1,7353 24,25168515 24,22565565 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-22 13,9775 13,9625 1,7727 1,7727 24,77791425 24,75132375 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-23 13,8705 13,8555 1,7589 1,7589 24,39682245 24,37043895 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-24 13,8725 13,8575 1,7818 1,7818 24,7180205 24,6912935 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-25 13,8775 13,8625 1,7928 1,7928 24,879582 24,85269 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-28 13,8505 13,8355 1,8078 1,8078 25,0389339 25,0118169 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-29 13,8325 13,8175 1,7594 1,7594 24,3369005 24,3105095 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-11-30 13,9255 13,9105 1,779 1,779 24,7734645 24,7467795 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-01 13,9955 13,9805 1,7654 1,7654 24,7076557 24,6811747 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-02 14,0055 13,9905 1,7982 1,7982 25,1846901 25,1577171 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-05 13,9175 13,9025 1,8173 1,8173 25,29227275 25,26501325 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-06 13,9455 13,9305 1,8217 1,8217 25,40451735 25,37719185 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-07 13,9105 13,8955 1,8379 1,8379 25,56610795 25,53853945 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-08 13,8955 13,8805 1,8195 1,8195 25,28286225 25,25556975 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-12 14,0125 13,9975 1,8061 1,8061 25,30797625 25,28088475 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-13 14,0075 13,9925 1,8142 1,8142 25,4124065 25,3851935 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-14 13,9555 13,9405 1,8133 1,8133 25,30550815 25,27830865 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-15 13,9105 13,8955 1,7904 1,7904 24,9053592 24,8785032 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-16 13,9755 13,9605 1,7866 1,7866 24,9686283 24,9418293 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-19 13,9125 13,8975 1,7797 1,7797 24,76007625 24,73338075 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-20 13,8225 13,8075 1,7701 1,7701 24,46720725 24,44065575 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-21 13,9605 13,9455 1,7944 1,7944 25,0507212 25,0238052 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-22 13,8975 13,8825 1,8203 1,8203 25,29761925 25,27031475 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-23 13,8255 13,8105 1,8331 1,8331 25,34352405 25,31602755 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-28 13,7705 13,7555 1,8451 1,8451 25,40794955 25,38027305 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-29 13,6655 13,6505 1,8674 1,8674 25,5189547 25,4909437 899120 First State Investments (UK) Ltd First State Global Resources Fund GBP 2005-12-30 13,7405 13,7255 1,8696 1,8696 25,6892388 25,6611948 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-04 12,8005 12,7855 1,1532 1,1532 14,7615366 14,7442386 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-05 12,8355 12,8205 1,1426 1,1426 14,6658423 14,6487033 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-07 12,8955 12,8805 1,1365 1,1365 14,65573575 14,63868825 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-10 13,03576 13,02076 1,1395 1,1395 14,85424852 14,83715602 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-11 13,03576 13,02076 1,1403 1,1403 14,864677128 14,847572628 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-12 12,9275 12,9125 1,1414 1,1414 14,7554485 14,7383275 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-13 12,9275 12,9125 1,1382 1,1382 14,7140805 14,6970075 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-14 12,9175 12,9025 1,1466 1,1466 14,8112055 14,7940065 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-17 12,9455 12,9305 1,1583 1,1583 14,99477265 14,97739815 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-18 12,9175 12,9025 1,1615 1,1615 15,00367625 14,98625375 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-19 12,9275 12,9125 1,1592 1,1592 14,985558 14,96817 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-20 12,9955 12,9805 1,1571 1,1571 15,03709305 15,01973655 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-21 13,0555 13,0405 1,1495 1,1495 15,00729725 14,99005475 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-24 13,0525 13,0375 1,1357 1,1357 14,82372425 14,80668875 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-25 13,0575 13,0425 1,1452 1,1452 14,953449 14,936271 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-26 13,0755 13,0605 1,1511 1,1511 15,05120805 15,03394155 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-27 13,0475 13,0325 1,1465 1,1465 14,95895875 14,94176125 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-28 13,1705 13,1555 1,1519 1,1519 15,17109895 15,15382045 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-01-31 13,1875 13,1725 1,1607 1,1607 15,30673125 15,28932075 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-01 13,1555 13,1405 1,1716 1,1716 15,4129838 15,3954098 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-02 13,1025 13,0875 1,1778 1,1778 15,4321245 15,4144575 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-03 13,1225 13,1075 1,1775 1,1775 15,45174375 15,43408125 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-04 13,1855 13,1705 1,1853 1,1853 15,62877315 15,61099365 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-07 13,2305 13,2155 1,2044 1,2044 15,9348142 15,9167482 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-08 13,2175 13,2025 1,2143 1,2143 16,05001025 16,03179575 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-09 13,1775 13,1625 1,2109 1,2109 15,95663475 15,93847125 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-10 13,1855 13,1705 1,21 1,21 15,954455 15,936305 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-11 13,2155 13,2005 1,208 1,208 15,964324 15,946204 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-14 13,2175 13,2025 1,2037 1,2037 15,90990475 15,89184925 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-15 13,2175 13,2025 1,2038 1,2038 15,9112265 15,8931695 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-16 13,1905 13,1755 1,2092 1,2092 15,9499526 15,9318146 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-17 13,1605 13,1455 1,1979 1,1979 15,76496295 15,74699445 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-18 13,2005 13,1855 1,2031 1,2031 15,88152155 15,86347505 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-21 13,2475 13,2325 1,2141 1,2141 16,08378975 16,06557825 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-22 13,1575 13,1425 1,2052 1,2052 15,857419 15,839341 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-23 13,1405 13,1255 1,2034 1,2034 15,8132777 15,7952267 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-24 13,0725 13,0575 1,2231 1,2231 15,98897475 15,97062825 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-25 13,1575 13,1425 1,2141 1,2141 15,97452075 15,95630925 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-02-28 13,1325 13,1175 1,2306 1,2306 16,1608545 16,1423955 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-01 13,1855 13,1705 1,2333 1,2333 16,26167715 16,24317765 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-02 13,2105 13,1955 1,2301 1,2301 16,25023605 16,23178455 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-03 13,1875 13,1725 1,2359 1,2359 16,29843125 16,27989275 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-04 13,1505 13,1355 1,2276 1,2276 16,1435538 16,1251398 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-07 13,1305 13,1155 1,2316 1,2316 16,1715238 16,1530498 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-08 13,0925 13,0775 1,2096 1,2096 15,836688 15,818544 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-09 13,0505 13,0355 1,2339 1,2339 16,10301195 16,08450345 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-10 13,0175 13,0025 1,2251 1,2251 15,94773925 15,92936275 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-11 12,9975 12,9825 1,2321 1,2321 16,01421975 15,99573825 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-14 12,9805 12,9655 1,2292 1,2292 15,9556306 15,9371926 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-15 13,0475 13,0325 1,2084 1,2084 15,766599 15,748473 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-16 13,0825 13,0675 1,201 1,201 15,7120825 15,6940675 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-17 13,0825 13,0675 1,1908 1,1908 15,578641 15,560779 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-18 13,0955 13,0805 1,1966 1,1966 15,6700753 15,6521263 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-21 13,1805 13,1655 1,2267 1,2267 16,16851935 16,15011885 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-22 13,1605 13,1455 1,2249 1,2249 16,12029645 16,10192295 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-23 13,1455 13,1305 1,2283 1,2283 16,14661765 16,12819315 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-24 13,1205 13,1055 1,2306 1,2306 16,1460873 16,1276283 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-29 13,2125 13,1975 1,2292 1,2292 16,240805 16,222367 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-30 13,2575 13,2425 1,2197 1,2197 16,17017275 16,15187725 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-03-31 13,2725 13,2575 1,2272 1,2272 16,288012 16,269604 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-01 13,3525 13,3375 1,2333 1,2333 16,46763825 16,44913875 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-04 13,3575 13,3425 1,242 1,242 16,590015 16,571385 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-05 13,4255 13,4105 1,2405 1,2405 16,65433275 16,63572525 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-06 13,4155 13,4005 1,2422 1,2422 16,6647341 16,6461011 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-07 13,3375 13,3225 1,2446 1,2446 16,5998525 16,5811835 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-08 13,3655 13,3505 1,2362 1,2362 16,5224311 16,5038881 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-11 13,3755 13,3605 1,2195 1,2195 16,31142225 16,29312975 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-12 13,3375 13,3225 1,2381 1,2381 16,51315875 16,49458725 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-13 13,3955 13,3805 1,2458 1,2458 16,6881139 16,6694269 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-14 13,4505 13,4355 1,2439 1,2439 16,73107695 16,71241845 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-15 13,4925 13,4775 1,2247 1,2247 16,52426475 16,50589425 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-18 13,4225 13,4075 1,1677 1,1677 15,67345325 15,65593775 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-19 13,4855 13,4705 1,173 1,173 15,8184915 15,8008965 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-20 13,5005 13,4855 1,1708 1,1708 15,8063854 15,7888234 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-21 13,4575 13,4425 1,1743 1,1743 15,80314225 15,78552775 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-22 13,4125 13,3975 1,2022 1,2022 16,1245075 16,1064745 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-25 13,4775 13,4625 1,2123 1,2123 16,33877325 16,32058875 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-26 13,4225 13,4075 1,2285 1,2285 16,48954125 16,47111375 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-27 13,4605 13,4455 1,2274 1,2274 16,5214177 16,5030067 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-28 13,4755 13,4605 1,2322 1,2322 16,6045111 16,5860281 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-04-29 13,5405 13,5255 1,2259 1,2259 16,59929895 16,58091045 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-03 13,5955 13,5805 1,2395 1,2395 16,85162225 16,83302975 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-04 13,4925 13,4775 1,2326 1,2326 16,6308555 16,6123665 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-06 13,4375 13,4225 1,2452 1,2452 16,732375 16,713697 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-09 13,5205 13,5055 1,2502 1,2502 16,9033291 16,8845761 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-10 13,4755 13,4605 1,2481 1,2481 16,81877155 16,80005005 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-11 13,4805 13,4655 1,2393 1,2393 16,70638365 16,68779415 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-12 13,4955 13,4805 1,2489 1,2489 16,85452995 16,83579645 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-13 13,5205 13,5055 1,2506 1,2506 16,9087373 16,8899783 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-16 13,4775 13,4625 1,262 1,262 17,008605 16,989675 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-17 13,4375 13,4225 1,2485 1,2485 16,77671875 16,75799125 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-18 13,3805 13,3655 1,2534 1,2534 16,7711187 16,7523177 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-19 13,3505 13,3355 1,2375 1,2375 16,52124375 16,50268125 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-20 13,3655 13,3505 1,2597 1,2597 16,83652035 16,81762485 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-23 13,3775 13,3625 1,2363 1,2363 16,53860325 16,52005875 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-24 13,3605 13,3455 1,2637 1,2637 16,88366385 16,86470835 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-25 13,3405 13,3255 1,2368 1,2368 16,4995304 16,4809784 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-26 13,3655 13,3505 1,2599 1,2599 16,83919345 16,82029495 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-27 13,3855 13,3705 1,2573 1,2573 16,82958915 16,81072965 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-05-31 13,4475 13,4325 1,2679 1,2679 17,05008525 17,03106675 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-01 13,5155 13,5005 1,2827 1,2827 17,33633185 17,31709135 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-02 13,5755 13,5605 1,2499 1,2499 16,96801745 16,94926895 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-03 13,5255 13,5105 1,276 1,276 17,258538 17,239398 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-07 13,6225 13,6075 1,2708 1,2708 17,311473 17,292411 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-08 13,6505 13,6355 1,2778 1,2778 17,4426089 17,4234419 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-09 13,7225 13,7075 1,2816 1,2816 17,586756 17,567532 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-10 13,6925 13,6775 1,2831 1,2831 17,56884675 17,54960025 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-13 13,8305 13,8155 1,3023 1,3023 18,01146015 17,99192565 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-14 13,8625 13,8475 1,2967 1,2967 17,97550375 17,95605325 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-15 13,9175 13,9025 1,2979 1,2979 18,06352325 18,04405475 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-16 13,9605 13,9455 1,2899 1,2899 18,00764895 17,98830045 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-17 13,9355 13,9205 1,2894 1,2894 17,9684337 17,9490927 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-20 13,7705 13,7555 1,2946 1,2946 17,8272893 17,8078703 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-21 13,9325 13,9175 1,2964 1,2964 18,062093 18,042647 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-22 13,9175 13,9025 1,3094 1,3094 18,2235745 18,2039335 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-23 14,0705 14,0555 1,315 1,315 18,5027075 18,4829825 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-27 14,1125 14,0975 1,3091 1,3091 18,47467375 18,45503725 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-28 14,1355 14,1205 1,3217 1,3217 18,68289035 18,66306485 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-29 14,2175 14,2025 1,3269 1,3269 18,86520075 18,84529725 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-06-30 14,1205 14,1055 1,3388 1,3388 18,9045254 18,8844434 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-01 13,9625 13,9475 1,3505 1,3505 18,85635625 18,83609875 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-04 14,0055 13,9905 1,3634 1,3634 19,0950987 19,0746477 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-05 13,9575 13,9425 1,3627 1,3627 19,01988525 18,99944475 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-06 13,8755 13,8605 1,3643 1,3643 18,93034465 18,90988015 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-07 13,7955 13,7805 1,3474 1,3474 18,5880567 18,5678457 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-08 13,7455 13,7305 1,3501 1,3501 18,55779955 18,53754805 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-11 13,7425 13,7275 1,3578 1,3578 18,6595665 18,6391995 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-12 13,7325 13,7175 1,3667 1,3667 18,76820775 18,74770725 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-13 13,6455 13,6305 1,3723 1,3723 18,72571965 18,70513515 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-14 13,6705 13,6555 1,3665 1,3665 18,68073825 18,66024075 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-15 13,6805 13,6655 1,3887 1,3887 18,99811035 18,97727985 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-18 13,6225 13,6075 1,3974 1,3974 19,0360815 19,0151205 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-19 13,7025 13,6875 1,4068 1,4068 19,276677 19,255575 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-20 13,5825 13,5675 1,409 1,409 19,1377425 19,1166075 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-21 13,5825 13,5675 1,4081 1,4081 19,12551825 19,10439675 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-22 13,6105 13,5955 1,4119 1,4119 19,21666495 19,19548645 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-25 13,5875 13,5725 1,4189 1,4189 19,27930375 19,25802025 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-26 13,6305 13,6155 1,4198 1,4198 19,3525839 19,3312869 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-27 13,7055 13,6905 1,4263 1,4263 19,54815465 19,52676015 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-28 13,6655 13,6505 1,4289 1,4289 19,52663295 19,50519945 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-07-29 13,5975 13,5825 1,4236 1,4236 19,357401 19,336047 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-01 13,6055 13,5905 1,399 1,399 19,0340945 19,0131095 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-02 13,6355 13,6205 1,4268 1,4268 19,4551314 19,4337294 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-03 13,6005 13,5855 1,4332 1,4332 19,4922366 19,4707386 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-04 13,5175 13,5025 1,4356 1,4356 19,405723 19,384189 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-05 13,4275 13,4125 1,4328 1,4328 19,238922 19,21743 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-08 13,4375 13,4225 1,4062 1,4062 18,8958125 18,8747195 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-09 13,4755 13,4605 1,4078 1,4078 18,9708089 18,9496919 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-10 13,5305 13,5155 1,4054 1,4054 19,0157647 18,9946837 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-11 13,5455 13,5305 1,4241 1,4241 19,29014655 19,26878505 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-12 13,5225 13,5075 1,3946 1,3946 18,8584785 18,8375595 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-15 13,6175 13,6025 1,4022 1,4022 19,0944585 19,0734255 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-16 13,6355 13,6205 1,4065 1,4065 19,17833075 19,15723325 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-17 13,7125 13,6975 1,406 1,406 19,279775 19,258685 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-18 13,7405 13,7255 1,3922 1,3922 19,1295241 19,1086411 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-19 13,7775 13,7625 1,3934 1,3934 19,1975685 19,1766675 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-22 13,8405 13,8255 1,377 1,377 19,0583685 19,0377135 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-23 13,7805 13,7655 1,3676 1,3676 18,8462118 18,8256978 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-24 13,7555 13,7405 1,3619 1,3619 18,73361545 18,71318695 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-25 13,7055 13,6905 1,353 1,353 18,5435415 18,5232465 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-26 13,6875 13,6725 1,3562 1,3562 18,5629875 18,5426445 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-30 13,6825 13,6675 1,3553 1,3553 18,54389225 18,52356275 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-08-31 13,6805 13,6655 1,3493 1,3493 18,45909865 18,43885915 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-01 13,6375 13,6225 1,3411 1,3411 18,28925125 18,26913475 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-02 13,6475 13,6325 1,3551 1,3551 18,49372725 18,47340075 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-05 13,6855 13,6705 1,3246 1,3246 18,1278133 18,1079443 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-06 13,7625 13,7475 1,3274 1,3274 18,2683425 18,2484315 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-07 13,7105 13,6955 1,3322 1,3322 18,2651281 18,2451451 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-08 13,7855 13,7705 1,3369 1,3369 18,42983495 18,40978145 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-09 13,8275 13,8125 1,355 1,355 18,7362625 18,7159375 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-12 13,8055 13,7905 1,3679 1,3679 18,88454345 18,86402495 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-13 13,7805 13,7655 1,3707 1,3707 18,88893135 18,86837085 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-14 13,8805 13,8655 1,3663 1,3663 18,96492715 18,94443265 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-15 13,8955 13,8805 1,3775 1,3775 19,14105125 19,12038875 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-16 13,7905 13,7755 1,3672 1,3672 18,8543716 18,8338636 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-19 13,8555 13,8405 1,3488 1,3488 18,6882984 18,6680664 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-20 13,8775 13,8625 1,3555 1,3555 18,81095125 18,79061875 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-21 13,8375 13,8225 1,364 1,364 18,87435 18,85389 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-22 13,8355 13,8205 1,3397 1,3397 18,53541935 18,51532385 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-23 13,8055 13,7905 1,3452 1,3452 18,5711586 18,5509806 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-26 13,8325 13,8175 1,3585 1,3585 18,79145125 18,77107375 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-27 13,8205 13,8055 1,3892 1,3892 19,1994386 19,1786006 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-28 13,8275 13,8125 1,3967 1,3967 19,31286925 19,29191875 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-29 13,7475 13,7325 1,4153 1,4153 19,45683675 19,43560725 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-09-30 13,6775 13,6625 1,4244 1,4244 19,482231 19,460865 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-03 13,6775 13,6625 1,4312 1,4312 19,575238 19,55377 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-04 13,7375 13,7225 1,4095 1,4095 19,36300625 19,34186375 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-05 13,7405 13,7255 1,4199 1,4199 19,51013595 19,48883745 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-06 13,6705 13,6555 1,3713 1,3713 18,74635665 18,72578715 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-07 13,5955 13,5805 1,3888 1,3888 18,8814304 18,8605984 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-10 13,5675 13,5525 1,4013 1,4013 19,01213775 18,99111825 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-11 13,5855 13,5705 1,4057 1,4057 19,09713735 19,07605185 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-12 13,5955 13,5805 1,4199 1,4199 19,30425045 19,28295195 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-13 13,6675 13,6525 1,3852 1,3852 18,932221 18,911443 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-14 13,7555 13,7405 1,3719 1,3719 18,87117045 18,85059195 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-17 13,8475 13,8325 1,3523 1,3523 18,72597425 18,70568975 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-18 13,8225 13,8075 1,3638 1,3638 18,8511255 18,8306685 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-20 13,9905 13,9755 1,333 1,333 18,6493365 18,6293415 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-21 14,0025 13,9875 1,3121 1,3121 18,37268025 18,35299875 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-24 14,1375 14,1225 1,3077 1,3077 18,48760875 18,46799325 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-25 14,1225 14,1075 1,3179 1,3179 18,61204275 18,59227425 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-26 13,9955 13,9805 1,3164 1,3164 18,4236762 18,4039302 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-27 14,0405 14,0255 1,3028 1,3028 18,2919634 18,2724214 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-28 13,9655 13,9505 1,2969 1,2969 18,11185695 18,09240345 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-10-31 14,0725 14,0575 1,3015 1,3015 18,31535875 18,29583625 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-01 14,1055 14,0905 1,3298 1,3298 18,7574939 18,7375469 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-02 14,0775 14,0625 1,345 1,345 18,9342375 18,9140625 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-03 14,2125 14,1975 1,3325 1,3325 18,93815625 18,91816875 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-04 14,1905 14,1755 1,3436 1,3436 19,0663558 19,0462018 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-07 14,2275 14,2125 1,3432 1,3432 19,110378 19,09023 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-08 14,1725 14,1575 1,3764 1,3764 19,507029 19,486383 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-09 14,1525 14,1375 1,3617 1,3617 19,27145925 19,25103375 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-10 14,2425 14,2275 1,3791 1,3791 19,64183175 19,62114525 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-11 14,3475 14,3325 1,3949 1,3949 20,01332775 19,99240425 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-14 14,1905 14,1755 1,3661 1,3661 19,38564205 19,36515055 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-15 14,2325 14,2175 1,3939 1,3939 19,83868175 19,81777325 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-16 14,2475 14,2325 1,3725 1,3725 19,55469375 19,53410625 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-17 14,1855 14,1705 1,385 1,385 19,6469175 19,6261425 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-18 14,0775 14,0625 1,4319 1,4319 20,15757225 20,13609375 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-21 13,9755 13,9605 1,4058 1,4058 19,6467579 19,6256709 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-22 13,9775 13,9625 1,4272 1,4272 19,948688 19,92728 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-23 13,8705 13,8555 1,4411 1,4411 19,98877755 19,96716105 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-24 13,8725 13,8575 1,4457 1,4457 20,05547325 20,03378775 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-25 13,8775 13,8625 1,4521 1,4521 20,15151775 20,12973625 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-28 13,8505 13,8355 1,4395 1,4395 19,93779475 19,91620225 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-29 13,8325 13,8175 1,4439 1,4439 19,97274675 19,95108825 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-11-30 13,9255 13,9105 1,4457 1,4457 20,13209535 20,11040985 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-01 13,9955 13,9805 1,4521 1,4521 20,32286555 20,30108405 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-02 14,0055 13,9905 1,4445 1,4445 20,23094475 20,20927725 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-05 13,9175 13,9025 1,4718 1,4718 20,4837765 20,4616995 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-06 13,9455 13,9305 1,4511 1,4511 20,23631505 20,21454855 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-07 13,9105 13,8955 1,4722 1,4722 20,4790381 20,4569551 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-08 13,8955 13,8805 1,4242 1,4242 19,7899711 19,7686081 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-12 14,0125 13,9975 1,4393 1,4393 20,16819125 20,14660175 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-13 14,0075 13,9925 1,4113 1,4113 19,76878475 19,74761525 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-14 13,9555 13,9405 1,4109 1,4109 19,68981495 19,66865145 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-15 13,9105 13,8955 1,4406 1,4406 20,0394663 20,0178573 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-16 13,9755 13,9605 1,4521 1,4521 20,29382355 20,27204205 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-19 13,9125 13,8975 1,4516 1,4516 20,195385 20,173611 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-20 13,8225 13,8075 1,4444 1,4444 19,965219 19,943553 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-21 13,9605 13,9455 1,4652 1,4652 20,4549246 20,4329466 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-22 13,8975 13,8825 1,4713 1,4713 20,44739175 20,42532225 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-23 13,8255 13,8105 1,4873 1,4873 20,56266615 20,54035665 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-28 13,7705 13,7555 1,4857 1,4857 20,45883185 20,43654635 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-29 13,6655 13,6505 1,5117 1,5117 20,65813635 20,63546085 970780 First State Investments (UK) Ltd First State Greater China Growth Fund GBP 2005-12-30 13,7405 13,7255 1,5016 1,5016 20,6327348 20,6102108 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-03 1 1 76,4403 75,6797 76,4403 75,6797 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-04 1 1 76,9931 76,227 76,9931 76,227 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-05 1 1 76,6614 75,8986 76,6614 75,8986 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-07 1 1 77,2946 76,5255 77,2946 76,5255 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-10 1 1 77,4051 76,6349 77,4051 76,6349 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-11 1 1 76,8825 76,1175 76,8825 76,1175 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-12 1 1 76,6514 75,8887 76,6514 75,8887 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-13 1 1 76,4303 75,6698 76,4303 75,6698 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-14 1 1 76,7519 75,9882 76,7519 75,9882 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-17 1 1 77,1137 76,3464 77,1137 76,3464 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-18 1 1 76,7117 75,9484 76,7117 75,9484 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-19 1 1 77,2946 76,5255 77,2946 76,5255 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-20 1 1 76,7318 75,9683 76,7318 75,9683 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-21 1 1 77,0534 76,2867 77,0534 76,2867 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-24 1 1 76,6313 75,8688 76,6313 75,8688 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-25 1 1 77,2041 76,4359 77,2041 76,4359 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-26 1 1 77,4956 76,7245 77,4956 76,7245 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-27 1 1 77,4855 76,7145 77,4855 76,7145 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-28 1 1 77,6966 76,9235 77,6966 76,9235 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-01-31 1 1 78,2493 77,4707 78,2493 77,4707 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-01 1 1 78,3096 77,5304 78,3096 77,5304 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-02 1 1 78,5408 77,7593 78,5408 77,7593 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-03 1 1 78,5709 77,7891 78,5709 77,7891 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-04 1 1 79,1438 78,3563 79,1438 78,3563 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-07 1 1 79,5759 78,7841 79,5759 78,7841 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-08 1 1 79,7267 78,9334 79,7267 78,9334 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-09 1 1 80,0684 79,2717 80,0684 79,2717 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-10 1 1 80,0985 79,3015 80,0985 79,3015 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-11 1 1 80,3196 79,5204 80,3196 79,5204 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-14 1 1 80,792 79,9881 80,792 79,9881 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-15 1 1 80,6312 79,8289 80,6312 79,8289 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-16 1 1 80,1086 79,3115 80,1086 79,3115 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-17 1 1 80,8121 80,008 80,8121 80,008 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-18 1 1 80,6412 79,8388 80,6412 79,8388 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-21 1 1 80,7116 79,9085 80,7116 79,9085 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-22 1 1 79,7468 78,9533 79,7468 78,9533 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-23 1 1 79,6061 78,814 79,6061 78,814 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-24 1 1 79,3247 78,5354 79,3247 78,5354 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-25 1 1 79,8071 79,013 79,8071 79,013 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-02-28 1 1 79,797 79,003 79,797 79,003 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-01 1 1 80,0483 79,2518 80,0483 79,2518 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-02 1 1 80,2392 79,4408 80,2392 79,4408 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-03 1 1 80,3699 79,5702 80,3699 79,5702 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-04 1 1 80,6211 79,8189 80,6211 79,8189 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-07 1 1 80,591 79,7891 80,591 79,7891 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-08 1 1 80,6714 79,8687 80,6714 79,8687 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-09 1 1 80,1689 79,3712 80,1689 79,3712 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-10 1 1 79,988 79,1921 79,988 79,1921 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-11 1 1 80,1086 79,3115 80,1086 79,3115 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-14 1 1 79,998 79,202 79,998 79,202 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-15 1 1 80,4603 79,6597 80,4603 79,6597 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-16 1 1 80,0483 79,2518 80,0483 79,2518 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-17 1 1 79,8171 79,0229 79,8171 79,0229 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-18 1 1 80,1588 79,3612 80,1588 79,3612 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-21 1 1 80,4503 79,6498 80,4503 79,6498 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-22 1 1 80,2091 79,411 80,2091 79,411 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-23 1 1 79,6262 78,8339 79,6262 78,8339 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-24 1 1 80,1287 79,3314 80,1287 79,3314 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-29 1 1 80,4704 79,6697 80,4704 79,6697 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-30 1 1 80,4402 79,6398 80,4402 79,6398 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-03-31 1 1 80,9126 80,1075 80,9126 80,1075 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-01 1 1 81,0533 80,2468 81,0533 80,2468 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-04 1 1 80,5508 79,7493 80,5508 79,7493 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-05 1 1 80,9829 80,1771 80,9829 80,1771 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-06 1 1 81,2844 80,4756 81,2844 80,4756 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-07 1 1 81,3648 80,5552 81,3648 80,5552 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-08 1 1 82,0382 81,2219 82,0382 81,2219 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-11 1 1 81,8673 81,0527 81,8673 81,0527 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-12 1 1 81,5558 80,7443 81,5558 80,7443 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-13 1 1 81,9578 81,1423 81,9578 81,1423 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-14 1 1 82,1387 81,3214 82,1387 81,3214 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-15 1 1 81,1839 80,3761 81,1839 80,3761 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-18 1 1 80,0985 79,3015 80,0985 79,3015 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-19 1 1 80,4603 79,6597 80,4603 79,6597 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-20 1 1 80,3799 79,5801 80,3799 79,5801 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-21 1 1 80,0382 79,2418 80,0382 79,2418 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-22 1 1 80,1689 79,3712 80,1689 79,3712 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-25 1 1 80,0784 79,2816 80,0784 79,2816 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-26 1 1 79,6764 78,8836 79,6764 78,8836 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-27 1 1 79,2141 78,4259 79,2141 78,4259 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-28 1 1 78,6011 77,819 78,6011 77,819 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-04-29 1 1 79,2543 78,4657 79,2543 78,4657 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-02 1 1 79,6965 78,9035 79,6965 78,9035 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-03 1 1 79,8573 79,0627 79,8573 79,0627 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-04 1 1 79,6362 78,8438 79,6362 78,8438 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-06 1 1 80,5005 79,6995 80,5005 79,6995 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-09 1 1 80,4402 79,6398 80,4402 79,6398 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-10 1 1 80,199 79,401 80,199 79,401 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-11 1 1 80,3799 79,5801 80,3799 79,5801 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-12 1 1 80,9126 80,1075 80,9126 80,1075 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-13 1 1 80,7116 79,9085 80,7116 79,9085 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-16 1 1 80,6915 79,8886 80,6915 79,8886 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-17 1 1 80,7417 79,9383 80,7417 79,9383 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-18 1 1 81,4452 80,6348 81,4452 80,6348 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-19 1 1 81,9276 81,1124 81,9276 81,1124 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-20 1 1 81,8774 81,0627 81,8774 81,0627 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-23 1 1 82,0784 81,2617 82,0784 81,2617 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-24 1 1 81,8774 81,0627 81,8774 81,0627 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-25 1 1 81,9578 81,1423 81,9578 81,1423 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-26 1 1 82,3397 81,5204 82,3397 81,5204 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-27 1 1 82,4703 81,6497 82,4703 81,6497 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-30 1 1 82,5507 81,7293 82,5507 81,7293 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-05-31 1 1 82,7919 81,9681 82,7919 81,9681 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-01 1 1 82,6613 81,8388 82,6613 81,8388 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-02 1 1 83,2241 82,396 83,2241 82,396 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-03 1 1 83,1739 82,3462 83,1739 82,3462 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-07 1 1 83,1537 82,3263 83,1537 82,3263 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-08 1 1 84,0884 83,2517 84,0884 83,2517 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-09 1 1 84,0683 83,2318 84,0683 83,2318 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-10 1 1 84,9728 84,1273 84,9728 84,1273 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-13 1 1 85,2642 84,4158 85,2642 84,4158 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-14 1 1 85,3547 84,5054 85,3547 84,5054 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-15 1 1 85,7768 84,9233 85,7768 84,9233 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-16 1 1 85,5054 84,6546 85,5054 84,6546 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-17 1 1 85,5255 84,6745 85,5255 84,6745 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-20 1 1 84,8622 84,0178 84,8622 84,0178 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-21 1 1 85,6461 84,7939 85,6461 84,7939 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-22 1 1 86,5205 85,6596 86,5205 85,6596 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-23 1 1 87,2642 86,3959 87,2642 86,3959 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-27 1 1 85,8873 85,0327 85,8873 85,0327 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-28 1 1 86,1084 85,2516 86,1084 85,2516 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-29 1 1 86,3295 85,4705 86,3295 85,4705 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-06-30 1 1 86,0883 85,2317 86,0883 85,2317 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-01 1 1 85,9559 85,7841 85,9559 85,7841 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-04 1 1 85,9859 85,8141 85,9859 85,8141 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-05 1 1 85,6356 85,4645 85,6356 85,4645 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-06 1 1 84,8748 84,7052 84,8748 84,7052 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-07 1 1 84,8748 84,7052 84,8748 84,7052 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-08 1 1 84,9148 84,7452 84,9148 84,7452 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-11 1 1 84,9148 84,7452 84,9148 84,7452 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-12 1 1 84,9148 84,7452 84,9148 84,7452 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-13 1 1 84,7452 84,7452 84,7452 84,7452 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-14 1 1 84,9248 84,7552 84,9248 84,7552 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-15 1 1 84,9449 84,7751 84,9449 84,7751 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-18 1 1 84,9449 84,7751 84,9449 84,7751 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-19 1 1 84,9549 84,7581 84,9549 84,7581 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-20 1 1 84,9549 84,7851 84,9549 84,7851 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-21 1 1 84,9549 84,7851 84,9549 84,7851 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-22 1 1 84,9649 84,7951 84,9649 84,7951 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-25 1 1 84,9749 84,8051 84,9749 84,8051 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-26 1 1 84,9749 84,8051 84,9749 84,8051 685388 Danske Capital Sverige AB Firstnordic SRI Europa SEK 2005-07-27 1 1 84,9749 84,8051 84,9749 84,8051 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-03 1 1 117,95 117,95 117,95 117,95 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-04 1 1 118,01 118,01 118,01 118,01 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-05 1 1 117,8 117,8 117,8 117,8 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-07 1 1 118,23 118,23 118,23 118,23 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-10 1 1 118,29 118,29 118,29 118,29 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-11 1 1 118,32 118,32 118,32 118,32 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-12 1 1 118,3 118,3 118,3 118,3 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-13 1 1 118,48 118,48 118,48 118,48 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-14 1 1 118,49 118,49 118,49 118,49 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-17 1 1 118,63 118,63 118,63 118,63 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-18 1 1 118,52 118,52 118,52 118,52 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-19 1 1 118,69 118,69 118,69 118,69 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-20 1 1 118,53 118,53 118,53 118,53 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-21 1 1 118,65 118,65 118,65 118,65 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-24 1 1 118,88 118,88 118,88 118,88 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-25 1 1 118,91 118,91 118,91 118,91 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-26 1 1 118,74 118,74 118,74 118,74 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-27 1 1 118,63 118,63 118,63 118,63 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-28 1 1 118,87 118,87 118,87 118,87 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-01-31 1 1 118,89 118,89 118,89 118,89 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-01 1 1 119,01 119,01 119,01 119,01 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-02 1 1 118,98 118,98 118,98 118,98 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-03 1 1 118,89 118,89 118,89 118,89 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-04 1 1 119,1 119,1 119,1 119,1 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-07 1 1 119,17 119,17 119,17 119,17 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-08 1 1 119,13 119,13 119,13 119,13 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-09 1 1 119,29 119,29 119,29 119,29 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-10 1 1 119,41 119,41 119,41 119,41 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-11 1 1 119,35 119,35 119,35 119,35 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-14 1 1 119,28 119,28 119,28 119,28 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-15 1 1 119,24 119,24 119,24 119,24 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-16 1 1 119,27 119,27 119,27 119,27 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-17 1 1 119,12 119,12 119,12 119,12 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-18 1 1 118,78 118,78 118,78 118,78 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-21 1 1 118,71 118,71 118,71 118,71 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-22 1 1 118,61 118,61 118,61 118,61 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-23 1 1 118,77 118,77 118,77 118,77 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-24 1 1 118,66 118,66 118,66 118,66 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-25 1 1 118,52 118,52 118,52 118,52 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-02-28 1 1 118,7 118,7 118,7 118,7 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-01 1 1 118,59 118,59 118,59 118,59 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-02 1 1 118,44 118,44 118,44 118,44 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-03 1 1 118,58 118,58 118,58 118,58 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-04 1 1 118,77 118,77 118,77 118,77 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-07 1 1 118,95 118,95 118,95 118,95 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-08 1 1 118,97 118,97 118,97 118,97 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-09 1 1 118,74 118,74 118,74 118,74 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-10 1 1 118,77 118,77 118,77 118,77 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-11 1 1 112,39 112,39 112,39 112,39 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-14 1 1 112,37 112,37 112,37 112,37 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-15 1 1 112,56 112,56 112,56 112,56 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-16 1 1 112,47 112,47 112,47 112,47 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-17 1 1 112,6 112,6 112,6 112,6 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-18 1 1 112,5 112,5 112,5 112,5 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-21 1 1 112,42 112,42 112,42 112,42 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-22 1 1 112,57 112,57 112,57 112,57 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-23 1 1 112,39 112,39 112,39 112,39 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-24 1 1 112,5 112,5 112,5 112,5 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-29 1 1 112,55 112,55 112,55 112,55 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-30 1 1 112,61 112,61 112,61 112,61 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-03-31 1 1 112,85 112,85 112,85 112,85 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-01 1 1 113,06 113,06 113,06 113,06 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-04 1 1 113,13 113,13 113,13 113,13 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-05 1 1 113,15 113,15 113,15 113,15 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-06 1 1 113,2 113,2 113,2 113,2 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-07 1 1 113,26 113,26 113,26 113,26 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-08 1 1 113,11 113,11 113,11 113,11 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-11 1 1 113,25 113,25 113,25 113,25 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-12 1 1 113,28 113,28 113,28 113,28 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-13 1 1 113,46 113,46 113,46 113,46 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-14 1 1 113,51 113,51 113,51 113,51 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-15 1 1 113,75 113,75 113,75 113,75 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-18 1 1 113,88 113,88 113,88 113,88 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-19 1 1 113,9 113,9 113,9 113,9 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-20 1 1 113,88 113,88 113,88 113,88 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-21 1 1 113,84 113,84 113,84 113,84 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-22 1 1 114,03 114,03 114,03 114,03 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-25 1 1 114,15 114,15 114,15 114,15 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-26 1 1 114,25 114,25 114,25 114,25 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-27 1 1 114,38 114,38 114,38 114,38 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-28 1 1 114,5 114,5 114,5 114,5 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-04-29 1 1 114,51 114,51 114,51 114,51 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-02 1 1 114,65 114,65 114,65 114,65 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-03 1 1 114,71 114,71 114,71 114,71 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-04 1 1 114,48 114,48 114,48 114,48 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-06 1 1 114,3 114,3 114,3 114,3 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-09 1 1 114,37 114,37 114,37 114,37 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-10 1 1 114,59 114,59 114,59 114,59 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-11 1 1 114,82 114,82 114,82 114,82 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-12 1 1 114,74 114,74 114,74 114,74 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-13 1 1 115,02 115,02 115,02 115,02 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-16 1 1 115,06 115,06 115,06 115,06 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-17 1 1 115,07 115,07 115,07 115,07 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-18 1 1 115,3 115,3 115,3 115,3 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-19 1 1 115,25 115,25 115,25 115,25 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-20 1 1 115,04 115,04 115,04 115,04 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-23 1 1 115,12 115,12 115,12 115,12 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-24 1 1 115,27 115,27 115,27 115,27 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-25 1 1 115,36 115,36 115,36 115,36 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-26 1 1 115,22 115,22 115,22 115,22 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-27 1 1 115,23 115,23 115,23 115,23 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-30 1 1 115,18 115,18 115,18 115,18 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-05-31 1 1 115,49 115,49 115,49 115,49 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-01 1 1 115,66 115,66 115,66 115,66 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-02 1 1 115,78 115,78 115,78 115,78 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-03 1 1 116,06 116,06 116,06 116,06 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-07 1 1 116,13 116,13 116,13 116,13 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-08 1 1 116,39 116,39 116,39 116,39 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-09 1 1 116,32 116,32 116,32 116,32 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-10 1 1 116,31 116,31 116,31 116,31 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-13 1 1 116,28 116,28 116,28 116,28 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-14 1 1 116,18 116,18 116,18 116,18 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-15 1 1 115,93 115,93 115,93 115,93 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-16 1 1 115,81 115,81 115,81 115,81 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-17 1 1 116 116 116 116 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-20 1 1 115,99 115,99 115,99 115,99 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-21 1 1 116,46 116,46 116,46 116,46 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-22 1 1 116,79 116,79 116,79 116,79 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-23 1 1 116,75 116,75 116,75 116,75 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-27 1 1 116,93 116,93 116,93 116,93 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-28 1 1 116,8 116,8 116,8 116,8 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-29 1 1 116,91 116,91 116,91 116,91 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-06-30 1 1 116,89 116,89 116,89 116,89 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-01 1 1 116,91 116,91 116,91 116,91 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-04 1 1 116,74 116,74 116,74 116,74 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-05 1 1 116,54 116,54 116,54 116,54 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-06 1 1 116,56 116,56 116,56 116,56 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-07 1 1 116,79 116,79 116,79 116,79 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-08 1 1 116,83 116,83 116,83 116,83 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-11 1 1 116,63 116,63 116,63 116,63 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-12 1 1 116,55 116,55 116,55 116,55 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-13 1 1 116,45 116,45 116,45 116,45 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-14 1 1 116,36 116,36 116,36 116,36 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-15 1 1 116,29 116,29 116,29 116,29 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-18 1 1 116,45 116,45 116,45 116,45 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-19 1 1 116,39 116,39 116,39 116,39 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-20 1 1 116,34 116,34 116,34 116,34 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-21 1 1 116,42 116,42 116,42 116,42 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-22 1 1 116,55 116,55 116,55 116,55 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-25 1 1 116,7 116,7 116,7 116,7 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-26 1 1 116,6 116,6 116,6 116,6 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-27 1 1 116,71 116,71 116,71 116,71 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-28 1 1 116,61 116,61 116,61 116,61 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-07-29 1 1 116,48 116,48 116,48 116,48 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-01 1 1 116,17 116,17 116,17 116,17 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-02 1 1 115,99 115,99 115,99 115,99 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-03 1 1 115,91 115,91 115,91 115,91 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-04 1 1 116,04 116,04 116,04 116,04 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-05 1 1 115,77 115,77 115,77 115,77 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-08 1 1 115,77 115,77 115,77 115,77 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-09 1 1 115,82 115,82 115,82 115,82 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-10 1 1 115,95 115,95 115,95 115,95 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-11 1 1 115,98 115,98 115,98 115,98 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-12 1 1 116,1 116,1 116,1 116,1 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-15 1 1 116,2 116,2 116,2 116,2 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-16 1 1 116,28 116,28 116,28 116,28 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-17 1 1 116,3 116,3 116,3 116,3 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-18 1 1 116,29 116,29 116,29 116,29 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-19 1 1 116,28 116,28 116,28 116,28 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-22 1 1 116,34 116,34 116,34 116,34 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-23 1 1 116,53 116,53 116,53 116,53 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-24 1 1 116,49 116,49 116,49 116,49 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-25 1 1 116,6 116,6 116,6 116,6 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-26 1 1 116,63 116,63 116,63 116,63 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-29 1 1 116,6 116,6 116,6 116,6 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-30 1 1 116,57 116,57 116,57 116,57 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-08-31 1 1 116,83 116,83 116,83 116,83 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-01 1 1 117,02 117,02 117,02 117,02 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-02 1 1 117,07 117,07 117,07 117,07 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-05 1 1 117,17 117,17 117,17 117,17 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-06 1 1 117,02 117,02 117,02 117,02 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-07 1 1 117 117 117 117 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-08 1 1 117,09 117,09 117,09 117,09 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-09 1 1 117,18 117,18 117,18 117,18 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-12 1 1 116,92 116,92 116,92 116,92 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-13 1 1 116,96 116,96 116,96 116,96 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-14 1 1 116,94 116,94 116,94 116,94 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-15 1 1 116,85 116,85 116,85 116,85 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-16 1 1 116,74 116,74 116,74 116,74 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-19 1 1 116,77 116,77 116,77 116,77 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-20 1 1 116,94 116,94 116,94 116,94 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-21 1 1 117,14 117,14 117,14 117,14 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-22 1 1 117,14 117,14 117,14 117,14 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-23 1 1 116,94 116,94 116,94 116,94 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-26 1 1 116,77 116,77 116,77 116,77 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-27 1 1 116,8 116,8 116,8 116,8 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-28 1 1 116,68 116,68 116,68 116,68 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-29 1 1 116,54 116,54 116,54 116,54 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-09-30 1 1 116,57 116,57 116,57 116,57 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-03 1 1 116,29 116,29 116,29 116,29 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-04 1 1 116,32 116,32 116,32 116,32 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-05 1 1 116,42 116,42 116,42 116,42 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-06 1 1 116,36 116,36 116,36 116,36 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-07 1 1 116,34 116,34 116,34 116,34 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-10 1 1 116,38 116,38 116,38 116,38 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-11 1 1 116,32 116,32 116,32 116,32 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-12 1 1 116,21 116,21 116,21 116,21 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-13 1 1 116,15 116,15 116,15 116,15 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-14 1 1 116,15 116,15 116,15 116,15 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-17 1 1 116,15 116,15 116,15 116,15 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-18 1 1 116,14 116,14 116,14 116,14 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-19 1 1 116,29 116,29 116,29 116,29 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-20 1 1 116,15 116,15 116,15 116,15 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-21 1 1 116,37 116,37 116,37 116,37 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-24 1 1 116,43 116,43 116,43 116,43 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-25 1 1 116,22 116,22 116,22 116,22 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-26 1 1 115,85 115,85 115,85 115,85 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-27 1 1 115,89 115,89 115,89 115,89 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-28 1 1 115,86 115,86 115,86 115,86 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-10-31 1 1 115,81 115,81 115,81 115,81 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-01 1 1 115,78 115,78 115,78 115,78 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-02 1 1 115,52 115,52 115,52 115,52 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-03 1 1 115,46 115,46 115,46 115,46 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-04 1 1 115,33 115,33 115,33 115,33 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-07 1 1 115,25 115,25 115,25 115,25 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-08 1 1 115,36 115,36 115,36 115,36 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-09 1 1 115,23 115,23 115,23 115,23 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-10 1 1 115,24 115,24 115,24 115,24 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-11 1 1 115,33 115,33 115,33 115,33 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-14 1 1 115,43 115,43 115,43 115,43 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-15 1 1 115,34 115,34 115,34 115,34 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-16 1 1 115,61 115,61 115,61 115,61 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-17 1 1 115,53 115,53 115,53 115,53 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-18 1 1 115,25 115,25 115,25 115,25 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-21 1 1 115,36 115,36 115,36 115,36 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-22 1 1 115,45 115,45 115,45 115,45 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-23 1 1 115,53 115,53 115,53 115,53 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-24 1 1 115,77 115,77 115,77 115,77 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-25 1 1 115,67 115,67 115,67 115,67 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-28 1 1 115,72 115,72 115,72 115,72 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-29 1 1 115,69 115,69 115,69 115,69 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-11-30 1 1 115,53 115,53 115,53 115,53 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-01 1 1 115,72 115,72 115,72 115,72 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-02 1 1 115,48 115,48 115,48 115,48 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-05 1 1 115,4 115,4 115,4 115,4 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-06 1 1 115,39 115,39 115,39 115,39 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-07 1 1 115,47 115,47 115,47 115,47 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-08 1 1 115,43 115,43 115,43 115,43 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-12 1 1 115,33 115,33 115,33 115,33 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-13 1 1 115,43 115,43 115,43 115,43 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-14 1 1 115,59 115,59 115,59 115,59 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-15 1 1 115,64 115,64 115,64 115,64 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-16 1 1 115,7 115,7 115,7 115,7 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-19 1 1 115,77 115,77 115,77 115,77 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-20 1 1 115,74 115,74 115,74 115,74 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-21 1 1 115,56 115,56 115,56 115,56 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-22 1 1 115,53 115,53 115,53 115,53 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-23 1 1 115,6 115,6 115,6 115,6 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-27 1 1 115,78 115,78 115,78 115,78 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-28 1 1 115,82 115,82 115,82 115,82 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-29 1 1 115,75 115,75 115,75 115,75 869438 Folksam LO Fond AB (publ) Folksam LO Obligation SEK 2005-12-30 1 1 115,89 115,89 115,89 115,89 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-03 1 1 122,58 122,58 122,58 122,58 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-04 1 1 123,02 123,02 123,02 123,02 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-05 1 1 122,07 122,07 122,07 122,07 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-07 1 1 122,37 122,37 122,37 122,37 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-10 1 1 123,79 123,79 123,79 123,79 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-11 1 1 123,12 123,12 123,12 123,12 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-12 1 1 121,05 121,05 121,05 121,05 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-13 1 1 121,11 121,11 121,11 121,11 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-14 1 1 121,56 121,56 121,56 121,56 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-17 1 1 122,45 122,45 122,45 122,45 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-18 1 1 121,64 121,64 121,64 121,64 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-19 1 1 122,61 122,61 122,61 122,61 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-20 1 1 121,23 121,23 121,23 121,23 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-21 1 1 121,05 121,05 121,05 121,05 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-24 1 1 119,67 119,67 119,67 119,67 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-25 1 1 121,14 121,14 121,14 121,14 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-26 1 1 121,31 121,31 121,31 121,31 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-27 1 1 121,68 121,68 121,68 121,68 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-28 1 1 121,51 121,51 121,51 121,51 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-01-31 1 1 122,34 122,34 122,34 122,34 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-01 1 1 122,59 122,59 122,59 122,59 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-02 1 1 123,72 123,72 123,72 123,72 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-03 1 1 123,53 123,53 123,53 123,53 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-04 1 1 124,44 124,44 124,44 124,44 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-07 1 1 125,67 125,67 125,67 125,67 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-08 1 1 125,87 125,87 125,87 125,87 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-09 1 1 126,25 126,25 126,25 126,25 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-10 1 1 125 125 125 125 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-11 1 1 125,88 125,88 125,88 125,88 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-14 1 1 126,46 126,46 126,46 126,46 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-15 1 1 127,06 127,06 127,06 127,06 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-16 1 1 125,62 125,62 125,62 125,62 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-17 1 1 126,52 126,52 126,52 126,52 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-18 1 1 125,52 125,52 125,52 125,52 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-21 1 1 125,98 125,98 125,98 125,98 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-22 1 1 124,77 124,77 124,77 124,77 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-23 1 1 125,29 125,29 125,29 125,29 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-24 1 1 125,9 125,9 125,9 125,9 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-25 1 1 126,65 126,65 126,65 126,65 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-02-28 1 1 127,19 127,19 127,19 127,19 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-01 1 1 127,28 127,28 127,28 127,28 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-02 1 1 127,45 127,45 127,45 127,45 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-03 1 1 128,52 128,52 128,52 128,52 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-04 1 1 129,08 129,08 129,08 129,08 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-07 1 1 129,04 129,04 129,04 129,04 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-08 1 1 128,52 128,52 128,52 128,52 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-09 1 1 128,01 128,01 128,01 128,01 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-10 1 1 127,28 127,28 127,28 127,28 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-11 1 1 124,53 124,53 124,53 124,53 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-14 1 1 124,17 124,17 124,17 124,17 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-15 1 1 125,2 125,2 125,2 125,2 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-16 1 1 123,84 123,84 123,84 123,84 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-17 1 1 123,43 123,43 123,43 123,43 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-18 1 1 123,64 123,64 123,64 123,64 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-21 1 1 123,24 123,24 123,24 123,24 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-22 1 1 123,71 123,71 123,71 123,71 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-23 1 1 123,09 123,09 123,09 123,09 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-24 1 1 124,15 124,15 124,15 124,15 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-29 1 1 124,29 124,29 124,29 124,29 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-30 1 1 123,51 123,51 123,51 123,51 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-03-31 1 1 124,31 124,31 124,31 124,31 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-01 1 1 125,03 125,03 125,03 125,03 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-04 1 1 124,68 124,68 124,68 124,68 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-05 1 1 125,99 125,99 125,99 125,99 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-06 1 1 126,75 126,75 126,75 126,75 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-07 1 1 127,09 127,09 127,09 127,09 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-08 1 1 127,9 127,9 127,9 127,9 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-11 1 1 128,11 128,11 128,11 128,11 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-12 1 1 127,66 127,66 127,66 127,66 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-13 1 1 128,73 128,73 128,73 128,73 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-14 1 1 129,72 129,72 129,72 129,72 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-15 1 1 127,71 127,71 127,71 127,71 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-18 1 1 125,66 125,66 125,66 125,66 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-19 1 1 126,5 126,5 126,5 126,5 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-20 1 1 126,2 126,2 126,2 126,2 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-21 1 1 126,53 126,53 126,53 126,53 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-22 1 1 127,7 127,7 127,7 127,7 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-25 1 1 127,25 127,25 127,25 127,25 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-26 1 1 126,41 126,41 126,41 126,41 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-27 1 1 123,65 123,65 123,65 123,65 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-28 1 1 122,11 122,11 122,11 122,11 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-04-29 1 1 123,32 123,32 123,32 123,32 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-02 1 1 123,97 123,97 123,97 123,97 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-03 1 1 124,1 124,1 124,1 124,1 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-04 1 1 124,1 124,1 124,1 124,1 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-06 1 1 125,55 125,55 125,55 125,55 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-09 1 1 125,68 125,68 125,68 125,68 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-10 1 1 125,08 125,08 125,08 125,08 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-11 1 1 125,1 125,1 125,1 125,1 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-12 1 1 125,7 125,7 125,7 125,7 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-13 1 1 126,39 126,39 126,39 126,39 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-16 1 1 126,39 126,39 126,39 126,39 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-17 1 1 127,22 127,22 127,22 127,22 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-18 1 1 128,15 128,15 128,15 128,15 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-19 1 1 128,48 128,48 128,48 128,48 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-20 1 1 128,42 128,42 128,42 128,42 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-23 1 1 128,51 128,51 128,51 128,51 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-24 1 1 128,65 128,65 128,65 128,65 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-25 1 1 128,89 128,89 128,89 128,89 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-26 1 1 129,45 129,45 129,45 129,45 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-27 1 1 129,75 129,75 129,75 129,75 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-30 1 1 130 130 130 130 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-05-31 1 1 130,2 130,2 130,2 130,2 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-01 1 1 129,98 129,98 129,98 129,98 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-02 1 1 129,36 129,36 129,36 129,36 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-03 1 1 129,23 129,23 129,23 129,23 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-07 1 1 129,84 129,84 129,84 129,84 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-08 1 1 130,74 130,74 130,74 130,74 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-09 1 1 130,63 130,63 130,63 130,63 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-10 1 1 131,29 131,29 131,29 131,29 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-13 1 1 131,33 131,33 131,33 131,33 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-14 1 1 132,46 132,46 132,46 132,46 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-15 1 1 132,48 132,48 132,48 132,48 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-16 1 1 132,55 132,55 132,55 132,55 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-17 1 1 133,25 133,25 133,25 133,25 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-20 1 1 133,18 133,18 133,18 133,18 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-21 1 1 133,8 133,8 133,8 133,8 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-22 1 1 134,39 134,39 134,39 134,39 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-23 1 1 135,32 135,32 135,32 135,32 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-27 1 1 132,86 132,86 132,86 132,86 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-28 1 1 133,71 133,71 133,71 133,71 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-29 1 1 134,5 134,5 134,5 134,5 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-06-30 1 1 135,19 135,19 135,19 135,19 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-01 1 1 135,68 135,68 135,68 135,68 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-04 1 1 136,38 136,38 136,38 136,38 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-05 1 1 136,1 136,1 136,1 136,1 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-06 1 1 136,74 136,74 136,74 136,74 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-07 1 1 134,02 134,02 134,02 134,02 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-08 1 1 136,1 136,1 136,1 136,1 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-11 1 1 138,12 138,12 138,12 138,12 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-12 1 1 138,4 138,4 138,4 138,4 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-13 1 1 139,24 139,24 139,24 139,24 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-14 1 1 139,27 139,27 139,27 139,27 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-15 1 1 139,05 139,05 139,05 139,05 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-18 1 1 139,16 139,16 139,16 139,16 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-19 1 1 139,27 139,27 139,27 139,27 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-20 1 1 138,74 138,74 138,74 138,74 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-21 1 1 139,72 139,72 139,72 139,72 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-22 1 1 140,05 140,05 140,05 140,05 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-25 1 1 139,49 139,49 139,49 139,49 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-26 1 1 140,15 140,15 140,15 140,15 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-27 1 1 140,52 140,52 140,52 140,52 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-28 1 1 141,33 141,33 141,33 141,33 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-07-29 1 1 141,41 141,41 141,41 141,41 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-01 1 1 141,48 141,48 141,48 141,48 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-02 1 1 142,16 142,16 142,16 142,16 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-03 1 1 141,95 141,95 141,95 141,95 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-04 1 1 141,31 141,31 141,31 141,31 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-05 1 1 141,1 141,1 141,1 141,1 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-08 1 1 140,86 140,86 140,86 140,86 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-09 1 1 141 141 141 141 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-10 1 1 142,96 142,96 142,96 142,96 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-11 1 1 142,1 142,1 142,1 142,1 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-12 1 1 141,67 141,67 141,67 141,67 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-15 1 1 141,46 141,46 141,46 141,46 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-16 1 1 141,7 141,7 141,7 141,7 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-17 1 1 141,05 141,05 141,05 141,05 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-18 1 1 141,16 141,16 141,16 141,16 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-19 1 1 142,27 142,27 142,27 142,27 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-22 1 1 142,32 142,32 142,32 142,32 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-23 1 1 141,11 141,11 141,11 141,11 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-24 1 1 139,2 139,2 139,2 139,2 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-25 1 1 137,9 137,9 137,9 137,9 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-26 1 1 136,75 136,75 136,75 136,75 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-29 1 1 137,25 137,25 137,25 137,25 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-30 1 1 138,03 138,03 138,03 138,03 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-08-31 1 1 138,55 138,55 138,55 138,55 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-01 1 1 139,78 139,78 139,78 139,78 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-02 1 1 139,63 139,63 139,63 139,63 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-05 1 1 140,63 140,63 140,63 140,63 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-06 1 1 141,52 141,52 141,52 141,52 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-07 1 1 142,04 142,04 142,04 142,04 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-08 1 1 141,46 141,46 141,46 141,46 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-09 1 1 142,46 142,46 142,46 142,46 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-12 1 1 142,96 142,96 142,96 142,96 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-13 1 1 142,42 142,42 142,42 142,42 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-14 1 1 143,25 143,25 143,25 143,25 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-15 1 1 142,77 142,77 142,77 142,77 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-16 1 1 142,84 142,84 142,84 142,84 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-19 1 1 143,56 143,56 143,56 143,56 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-20 1 1 143,17 143,17 143,17 143,17 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-21 1 1 142,44 142,44 142,44 142,44 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-22 1 1 142,1 142,1 142,1 142,1 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-23 1 1 142,49 142,49 142,49 142,49 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-26 1 1 144,23 144,23 144,23 144,23 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-27 1 1 144,74 144,74 144,74 144,74 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-28 1 1 145,72 145,72 145,72 145,72 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-29 1 1 145,69 145,69 145,69 145,69 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-09-30 1 1 147,02 147,02 147,02 147,02 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-03 1 1 147,87 147,87 147,87 147,87 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-04 1 1 147,8 147,8 147,8 147,8 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-05 1 1 146,81 146,81 146,81 146,81 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-06 1 1 145,26 145,26 145,26 145,26 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-07 1 1 145,06 145,06 145,06 145,06 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-10 1 1 145,72 145,72 145,72 145,72 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-11 1 1 146 146 146 146 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-12 1 1 144,82 144,82 144,82 144,82 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-13 1 1 142,89 142,89 142,89 142,89 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-14 1 1 142,92 142,92 142,92 142,92 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-17 1 1 142,87 142,87 142,87 142,87 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-18 1 1 142,14 142,14 142,14 142,14 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-19 1 1 139,97 139,97 139,97 139,97 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-20 1 1 140,85 140,85 140,85 140,85 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-21 1 1 139,31 139,31 139,31 139,31 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-24 1 1 141,14 141,14 141,14 141,14 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-25 1 1 142,43 142,43 142,43 142,43 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-26 1 1 142,96 142,96 142,96 142,96 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-27 1 1 141,8 141,8 141,8 141,8 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-28 1 1 141,13 141,13 141,13 141,13 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-10-31 1 1 144,56 144,56 144,56 144,56 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-01 1 1 145,16 145,16 145,16 145,16 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-02 1 1 145,34 145,34 145,34 145,34 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-03 1 1 147,3 147,3 147,3 147,3 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-04 1 1 147,11 147,11 147,11 147,11 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-07 1 1 147,78 147,78 147,78 147,78 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-08 1 1 147,61 147,61 147,61 147,61 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-09 1 1 147,63 147,63 147,63 147,63 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-10 1 1 148,25 148,25 148,25 148,25 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-11 1 1 149,51 149,51 149,51 149,51 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-14 1 1 150,18 150,18 150,18 150,18 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-15 1 1 149,35 149,35 149,35 149,35 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-16 1 1 149,42 149,42 149,42 149,42 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-17 1 1 150,18 150,18 150,18 150,18 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-18 1 1 150,63 150,63 150,63 150,63 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-21 1 1 150,74 150,74 150,74 150,74 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-22 1 1 151,11 151,11 151,11 151,11 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-23 1 1 151,17 151,17 151,17 151,17 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-24 1 1 150,64 150,64 150,64 150,64 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-25 1 1 151,13 151,13 151,13 151,13 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-28 1 1 151,38 151,38 151,38 151,38 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-29 1 1 151,51 151,51 151,51 151,51 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-11-30 1 1 150,18 150,18 150,18 150,18 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-01 1 1 151,86 151,86 151,86 151,86 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-02 1 1 153,3 153,3 153,3 153,3 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-05 1 1 153,31 153,31 153,31 153,31 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-06 1 1 153,96 153,96 153,96 153,96 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-07 1 1 153,95 153,95 153,95 153,95 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-08 1 1 154,05 154,05 154,05 154,05 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-12 1 1 154,48 154,48 154,48 154,48 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-13 1 1 154,26 154,26 154,26 154,26 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-14 1 1 153,88 153,88 153,88 153,88 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-15 1 1 153,83 153,83 153,83 153,83 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-16 1 1 154,22 154,22 154,22 154,22 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-19 1 1 154,74 154,74 154,74 154,74 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-20 1 1 154,6 154,6 154,6 154,6 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-21 1 1 155,77 155,77 155,77 155,77 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-22 1 1 156,25 156,25 156,25 156,25 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-23 1 1 157,74 157,74 157,74 157,74 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-27 1 1 158,6 158,6 158,6 158,6 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-28 1 1 158,37 158,37 158,37 158,37 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-29 1 1 158,97 158,97 158,97 158,97 976928 Folksam LO Fond AB (publ) Folksam LO Sverige SEK 2005-12-30 1 1 158,27 158,27 158,27 158,27 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-03 1 1 68,34 68,34 68,34 68,34 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-04 1 1 68,48 68,48 68,48 68,48 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-05 1 1 68,46 68,46 68,46 68,46 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-07 1 1 68,98 68,98 68,98 68,98 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-10 1 1 69,32 69,32 69,32 69,32 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-11 1 1 68,95 68,95 68,95 68,95 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-12 1 1 68,93 68,93 68,93 68,93 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-13 1 1 68,78 68,78 68,78 68,78 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-14 1 1 69,12 69,12 69,12 69,12 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-17 1 1 69,5 69,5 69,5 69,5 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-18 1 1 69,52 69,52 69,52 69,52 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-19 1 1 69,59 69,59 69,59 69,59 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-20 1 1 69,23 69,23 69,23 69,23 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-21 1 1 69,31 69,31 69,31 69,31 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-24 1 1 68,79 68,79 68,79 68,79 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-25 1 1 69,19 69,19 69,19 69,19 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-26 1 1 69,61 69,61 69,61 69,61 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-27 1 1 69,1 69,1 69,1 69,1 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-28 1 1 69,68 69,68 69,68 69,68 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-01-31 1 1 70,07 70,07 70,07 70,07 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-01 1 1 70,17 70,17 70,17 70,17 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-02 1 1 70,27 70,27 70,27 70,27 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-03 1 1 70,34 70,34 70,34 70,34 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-04 1 1 70,89 70,89 70,89 70,89 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-07 1 1 71,9 71,9 71,9 71,9 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-08 1 1 72,22 72,22 72,22 72,22 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-09 1 1 72,06 72,06 72,06 72,06 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-10 1 1 71,83 71,83 71,83 71,83 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-11 1 1 71,83 71,83 71,83 71,83 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-14 1 1 72,1 72,1 72,1 72,1 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-15 1 1 72,03 72,03 72,03 72,03 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-16 1 1 71,69 71,69 71,69 71,69 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-17 1 1 71,91 71,91 71,91 71,91 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-18 1 1 71,64 71,64 71,64 71,64 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-21 1 1 71,81 71,81 71,81 71,81 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-22 1 1 70,94 70,94 70,94 70,94 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-23 1 1 70,32 70,32 70,32 70,32 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-24 1 1 70,1 70,1 70,1 70,1 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-25 1 1 70,97 70,97 70,97 70,97 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-02-28 1 1 71,04 71,04 71,04 71,04 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-01 1 1 71,31 71,31 71,31 71,31 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-02 1 1 71,39 71,39 71,39 71,39 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-03 1 1 71,89 71,89 71,89 71,89 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-04 1 1 72,01 72,01 72,01 72,01 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-07 1 1 71,96 71,96 71,96 71,96 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-08 1 1 71,67 71,67 71,67 71,67 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-09 1 1 70,91 70,91 70,91 70,91 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-10 1 1 70,51 70,51 70,51 70,51 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-11 1 1 69,36 69,36 69,36 69,36 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-14 1 1 68,81 68,81 68,81 68,81 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-15 1 1 69,65 69,65 69,65 69,65 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-16 1 1 69,01 69,01 69,01 69,01 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-17 1 1 68,55 68,55 68,55 68,55 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-18 1 1 69 69 69 69 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-21 1 1 69,64 69,64 69,64 69,64 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-22 1 1 69,65 69,65 69,65 69,65 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-23 1 1 69,12 69,12 69,12 69,12 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-24 1 1 69,71 69,71 69,71 69,71 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-29 1 1 69,81 69,81 69,81 69,81 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-30 1 1 69,61 69,61 69,61 69,61 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-03-31 1 1 70,41 70,41 70,41 70,41 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-01 1 1 70,78 70,78 70,78 70,78 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-04 1 1 70,3 70,3 70,3 70,3 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-05 1 1 71,21 71,21 71,21 71,21 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-06 1 1 71,17 71,17 71,17 71,17 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-07 1 1 70,9 70,9 70,9 70,9 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-08 1 1 71,76 71,76 71,76 71,76 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-11 1 1 70,93 70,93 70,93 70,93 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-12 1 1 70,29 70,29 70,29 70,29 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-13 1 1 70,9 70,9 70,9 70,9 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-14 1 1 70,81 70,81 70,81 70,81 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-15 1 1 70,34 70,34 70,34 70,34 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-18 1 1 68,43 68,43 68,43 68,43 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-19 1 1 68,88 68,88 68,88 68,88 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-20 1 1 68,61 68,61 68,61 68,61 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-21 1 1 68,38 68,38 68,38 68,38 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-22 1 1 68,71 68,71 68,71 68,71 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-25 1 1 69,07 69,07 69,07 69,07 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-26 1 1 68,92 68,92 68,92 68,92 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-27 1 1 68,6 68,6 68,6 68,6 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-28 1 1 68,68 68,68 68,68 68,68 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-04-29 1 1 68,77 68,77 68,77 68,77 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-02 1 1 69,96 69,96 69,96 69,96 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-03 1 1 70,24 70,24 70,24 70,24 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-04 1 1 69,75 69,75 69,75 69,75 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-06 1 1 70,37 70,37 70,37 70,37 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-09 1 1 70,76 70,76 70,76 70,76 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-10 1 1 70,65 70,65 70,65 70,65 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-11 1 1 70,3 70,3 70,3 70,3 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-12 1 1 71,13 71,13 71,13 71,13 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-13 1 1 70,69 70,69 70,69 70,69 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-16 1 1 70,93 70,93 70,93 70,93 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-17 1 1 71,16 71,16 71,16 71,16 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-18 1 1 71,71 71,71 71,71 71,71 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-19 1 1 71,97 71,97 71,97 71,97 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-20 1 1 72,2 72,2 72,2 72,2 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-23 1 1 72,7 72,7 72,7 72,7 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-24 1 1 72,63 72,63 72,63 72,63 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-25 1 1 72,49 72,49 72,49 72,49 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-26 1 1 72,91 72,91 72,91 72,91 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-27 1 1 73,21 73,21 73,21 73,21 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-30 1 1 73,39 73,39 73,39 73,39 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-05-31 1 1 73,62 73,62 73,62 73,62 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-01 1 1 73,95 73,95 73,95 73,95 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-02 1 1 74,7 74,7 74,7 74,7 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-03 1 1 74,53 74,53 74,53 74,53 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-07 1 1 74,9 74,9 74,9 74,9 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-08 1 1 74,7 74,7 74,7 74,7 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-09 1 1 75,02 75,02 75,02 75,02 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-10 1 1 75,5 75,5 75,5 75,5 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-13 1 1 76,23 76,23 76,23 76,23 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-14 1 1 76,8 76,8 76,8 76,8 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-15 1 1 77,22 77,22 77,22 77,22 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-16 1 1 77,18 77,18 77,18 77,18 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-17 1 1 77,56 77,56 77,56 77,56 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-20 1 1 76,43 76,43 76,43 76,43 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-21 1 1 77,36 77,36 77,36 77,36 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-22 1 1 77,46 77,46 77,46 77,46 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-23 1 1 78,43 78,43 78,43 78,43 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-27 1 1 77,27 77,27 77,27 77,27 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-28 1 1 77,89 77,89 77,89 77,89 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-29 1 1 78,77 78,77 78,77 78,77 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-06-30 1 1 78,79 78,79 78,79 78,79 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-01 1 1 78,68 78,68 78,68 78,68 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-04 1 1 79,45 79,45 79,45 79,45 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-05 1 1 79,38 79,38 79,38 79,38 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-06 1 1 79,54 79,54 79,54 79,54 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-07 1 1 78,18 78,18 78,18 78,18 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-08 1 1 79,2 79,2 79,2 79,2 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-11 1 1 79,99 79,99 79,99 79,99 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-12 1 1 79,32 79,32 79,32 79,32 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-13 1 1 78,87 78,87 78,87 78,87 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-14 1 1 79,65 79,65 79,65 79,65 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-15 1 1 79,38 79,38 79,38 79,38 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-18 1 1 79,39 79,39 79,39 79,39 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-19 1 1 80,4 80,4 80,4 80,4 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-20 1 1 79,97 79,97 79,97 79,97 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-21 1 1 80,1 80,1 80,1 80,1 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-22 1 1 79,98 79,98 79,98 79,98 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-25 1 1 80,78 80,78 80,78 80,78 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-26 1 1 80,43 80,43 80,43 80,43 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-27 1 1 81,38 81,38 81,38 81,38 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-28 1 1 81,27 81,27 81,27 81,27 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-07-29 1 1 80,76 80,76 80,76 80,76 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-01 1 1 80,38 80,38 80,38 80,38 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-02 1 1 80,43 80,43 80,43 80,43 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-03 1 1 80,47 80,47 80,47 80,47 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-04 1 1 79,7 79,7 79,7 79,7 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-05 1 1 78,7 78,7 78,7 78,7 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-08 1 1 78,78 78,78 78,78 78,78 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-09 1 1 78,79 78,79 78,79 78,79 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-10 1 1 79,72 79,72 79,72 79,72 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-11 1 1 79,32 79,32 79,32 79,32 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-12 1 1 78,77 78,77 78,77 78,77 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-15 1 1 79,13 79,13 79,13 79,13 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-16 1 1 79,35 79,35 79,35 79,35 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-17 1 1 79,38 79,38 79,38 79,38 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-18 1 1 79,23 79,23 79,23 79,23 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-19 1 1 80,17 80,17 80,17 80,17 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-22 1 1 80,64 80,64 80,64 80,64 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-23 1 1 79,92 79,92 79,92 79,92 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-24 1 1 79,6 79,6 79,6 79,6 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-25 1 1 78,6 78,6 78,6 78,6 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-26 1 1 78,42 78,42 78,42 78,42 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-29 1 1 78,06 78,06 78,06 78,06 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-30 1 1 78,75 78,75 78,75 78,75 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-08-31 1 1 79,2 79,2 79,2 79,2 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-01 1 1 79,3 79,3 79,3 79,3 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-02 1 1 78,44 78,44 78,44 78,44 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-05 1 1 78,25 78,25 78,25 78,25 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-06 1 1 79,15 79,15 79,15 79,15 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-07 1 1 79,06 79,06 79,06 79,06 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-08 1 1 79,54 79,54 79,54 79,54 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-09 1 1 80,06 80,06 80,06 80,06 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-12 1 1 80,7 80,7 80,7 80,7 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-13 1 1 80,42 80,42 80,42 80,42 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-14 1 1 80,67 80,67 80,67 80,67 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-15 1 1 81,17 81,17 81,17 81,17 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-16 1 1 80,98 80,98 80,98 80,98 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-19 1 1 81,7 81,7 81,7 81,7 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-20 1 1 81,88 81,88 81,88 81,88 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-21 1 1 80,9 80,9 80,9 80,9 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-22 1 1 80,45 80,45 80,45 80,45 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-23 1 1 81,09 81,09 81,09 81,09 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-26 1 1 82,35 82,35 82,35 82,35 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-27 1 1 82,46 82,46 82,46 82,46 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-28 1 1 82,75 82,75 82,75 82,75 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-29 1 1 82,55 82,55 82,55 82,55 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-09-30 1 1 82,84 82,84 82,84 82,84 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-03 1 1 83,19 83,19 83,19 83,19 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-04 1 1 83,18 83,18 83,18 83,18 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-05 1 1 82,5 82,5 82,5 82,5 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-06 1 1 80,45 80,45 80,45 80,45 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-07 1 1 80,14 80,14 80,14 80,14 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-10 1 1 80,2 80,2 80,2 80,2 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-11 1 1 80,97 80,97 80,97 80,97 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-12 1 1 80,91 80,91 80,91 80,91 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-13 1 1 80,17 80,17 80,17 80,17 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-14 1 1 80,5 80,5 80,5 80,5 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-17 1 1 81,01 81,01 81,01 81,01 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-18 1 1 81,15 81,15 81,15 81,15 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-19 1 1 80,46 80,46 80,46 80,46 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-20 1 1 81,33 81,33 81,33 81,33 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-21 1 1 80,37 80,37 80,37 80,37 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-24 1 1 81,57 81,57 81,57 81,57 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-25 1 1 82,15 82,15 82,15 82,15 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-26 1 1 81,24 81,24 81,24 81,24 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-27 1 1 80,84 80,84 80,84 80,84 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-28 1 1 80,15 80,15 80,15 80,15 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-10-31 1 1 82,26 82,26 82,26 82,26 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-01 1 1 82,82 82,82 82,82 82,82 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-02 1 1 83,16 83,16 83,16 83,16 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-03 1 1 84,62 84,62 84,62 84,62 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-04 1 1 84,64 84,64 84,64 84,64 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-07 1 1 85,4 85,4 85,4 85,4 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-08 1 1 85,59 85,59 85,59 85,59 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-09 1 1 85,17 85,17 85,17 85,17 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-10 1 1 85,73 85,73 85,73 85,73 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-11 1 1 87,01 87,01 87,01 87,01 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-14 1 1 86,13 86,13 86,13 86,13 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-15 1 1 86,23 86,23 86,23 86,23 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-16 1 1 86,39 86,39 86,39 86,39 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-17 1 1 87,47 87,47 87,47 87,47 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-18 1 1 87,85 87,85 87,85 87,85 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-21 1 1 87,05 87,05 87,05 87,05 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-22 1 1 87,39 87,39 87,39 87,39 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-23 1 1 87,05 87,05 87,05 87,05 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-24 1 1 87,23 87,23 87,23 87,23 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-25 1 1 87,62 87,62 87,62 87,62 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-28 1 1 87,7 87,7 87,7 87,7 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-29 1 1 87,06 87,06 87,06 87,06 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-11-30 1 1 87,29 87,29 87,29 87,29 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-01 1 1 87,72 87,72 87,72 87,72 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-02 1 1 88,29 88,29 88,29 88,29 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-05 1 1 87,78 87,78 87,78 87,78 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-06 1 1 87,46 87,46 87,46 87,46 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-07 1 1 87,79 87,79 87,79 87,79 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-08 1 1 86,84 86,84 86,84 86,84 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-12 1 1 87,45 87,45 87,45 87,45 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-13 1 1 87,04 87,04 87,04 87,04 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-14 1 1 86,94 86,94 86,94 86,94 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-15 1 1 87,04 87,04 87,04 87,04 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-16 1 1 87,58 87,58 87,58 87,58 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-19 1 1 87,24 87,24 87,24 87,24 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-20 1 1 86,64 86,64 86,64 86,64 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-21 1 1 88,26 88,26 88,26 88,26 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-22 1 1 88,45 88,45 88,45 88,45 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-23 1 1 88,52 88,52 88,52 88,52 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-27 1 1 89,24 89,24 89,24 89,24 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-28 1 1 88,04 88,04 88,04 88,04 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-29 1 1 88,22 88,22 88,22 88,22 941096 Folksam LO Fond AB (publ) Folksam LO Världen SEK 2005-12-30 1 1 87,82 87,82 87,82 87,82 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-03 1 1 120,73 120,73 120,73 120,73 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-04 1 1 121,16 121,16 121,16 121,16 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-05 1 1 120,23 120,23 120,23 120,23 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-07 1 1 120,7 120,7 120,7 120,7 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-10 1 1 122 122 122 122 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-11 1 1 121,49 121,49 121,49 121,49 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-12 1 1 119,58 119,58 119,58 119,58 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-13 1 1 119,9 119,9 119,9 119,9 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-14 1 1 120,53 120,53 120,53 120,53 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-17 1 1 121,36 121,36 121,36 121,36 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-18 1 1 120,52 120,52 120,52 120,52 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-19 1 1 121,48 121,48 121,48 121,48 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-20 1 1 120,22 120,22 120,22 120,22 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-21 1 1 120,1 120,1 120,1 120,1 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-24 1 1 118,9 118,9 118,9 118,9 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-25 1 1 120,26 120,26 120,26 120,26 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-26 1 1 120,56 120,56 120,56 120,56 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-27 1 1 120,99 120,99 120,99 120,99 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-28 1 1 120,82 120,82 120,82 120,82 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-01-31 1 1 121,61 121,61 121,61 121,61 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-01 1 1 121,89 121,89 121,89 121,89 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-02 1 1 122,82 122,82 122,82 122,82 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-03 1 1 122,82 122,82 122,82 122,82 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-04 1 1 123,76 123,76 123,76 123,76 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-07 1 1 125,05 125,05 125,05 125,05 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-08 1 1 125,3 125,3 125,3 125,3 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-09 1 1 125,77 125,77 125,77 125,77 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-10 1 1 124,75 124,75 124,75 124,75 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-11 1 1 125,67 125,67 125,67 125,67 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-14 1 1 126,2 126,2 126,2 126,2 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-15 1 1 126,82 126,82 126,82 126,82 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-16 1 1 125,7 125,7 125,7 125,7 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-17 1 1 126,7 126,7 126,7 126,7 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-18 1 1 125,92 125,92 125,92 125,92 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-21 1 1 126,31 126,31 126,31 126,31 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-22 1 1 125,12 125,12 125,12 125,12 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-23 1 1 125,68 125,68 125,68 125,68 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-24 1 1 126,24 126,24 126,24 126,24 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-25 1 1 126,94 126,94 126,94 126,94 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-02-28 1 1 127,62 127,62 127,62 127,62 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-01 1 1 127,71 127,71 127,71 127,71 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-02 1 1 127,84 127,84 127,84 127,84 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-03 1 1 128,99 128,99 128,99 128,99 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-04 1 1 129,53 129,53 129,53 129,53 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-07 1 1 129,53 129,53 129,53 129,53 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-08 1 1 129,07 129,07 129,07 129,07 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-09 1 1 128,6 128,6 128,6 128,6 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-10 1 1 127,87 127,87 127,87 127,87 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-11 1 1 125,21 125,21 125,21 125,21 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-14 1 1 125,06 125,06 125,06 125,06 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-15 1 1 126,12 126,12 126,12 126,12 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-16 1 1 124,89 124,89 124,89 124,89 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-17 1 1 124,53 124,53 124,53 124,53 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-18 1 1 124,65 124,65 124,65 124,65 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-21 1 1 124,46 124,46 124,46 124,46 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-22 1 1 125,03 125,03 125,03 125,03 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-23 1 1 124,42 124,42 124,42 124,42 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-24 1 1 125,38 125,38 125,38 125,38 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-29 1 1 125,37 125,37 125,37 125,37 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-30 1 1 124,36 124,36 124,36 124,36 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-03-31 1 1 125,33 125,33 125,33 125,33 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-01 1 1 126,07 126,07 126,07 126,07 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-04 1 1 125,7 125,7 125,7 125,7 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-05 1 1 126,87 126,87 126,87 126,87 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-06 1 1 127,58 127,58 127,58 127,58 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-07 1 1 127,86 127,86 127,86 127,86 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-08 1 1 128,52 128,52 128,52 128,52 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-11 1 1 128,63 128,63 128,63 128,63 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-12 1 1 128,35 128,35 128,35 128,35 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-13 1 1 129,36 129,36 129,36 129,36 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-14 1 1 130,15 130,15 130,15 130,15 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-15 1 1 128 128 128 128 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-18 1 1 125,9 125,9 125,9 125,9 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-19 1 1 126,95 126,95 126,95 126,95 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-20 1 1 126,88 126,88 126,88 126,88 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-21 1 1 126,97 126,97 126,97 126,97 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-22 1 1 127,98 127,98 127,98 127,98 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-25 1 1 127,59 127,59 127,59 127,59 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-26 1 1 126,83 126,83 126,83 126,83 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-27 1 1 124,17 124,17 124,17 124,17 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-28 1 1 122,49 122,49 122,49 122,49 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-04-29 1 1 123,69 123,69 123,69 123,69 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-02 1 1 124,36 124,36 124,36 124,36 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-03 1 1 124,2 124,2 124,2 124,2 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-04 1 1 123,65 123,65 123,65 123,65 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-06 1 1 124,97 124,97 124,97 124,97 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-09 1 1 125,13 125,13 125,13 125,13 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-10 1 1 124,6 124,6 124,6 124,6 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-11 1 1 124,79 124,79 124,79 124,79 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-12 1 1 125,4 125,4 125,4 125,4 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-13 1 1 125,7 125,7 125,7 125,7 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-16 1 1 125,79 125,79 125,79 125,79 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-17 1 1 126,86 126,86 126,86 126,86 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-18 1 1 127,86 127,86 127,86 127,86 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-19 1 1 128,18 128,18 128,18 128,18 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-20 1 1 128,11 128,11 128,11 128,11 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-23 1 1 128,29 128,29 128,29 128,29 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-24 1 1 128,54 128,54 128,54 128,54 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-25 1 1 128,85 128,85 128,85 128,85 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-26 1 1 129,49 129,49 129,49 129,49 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-27 1 1 129,87 129,87 129,87 129,87 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-30 1 1 130,14 130,14 130,14 130,14 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-05-31 1 1 130,39 130,39 130,39 130,39 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-01 1 1 130,22 130,22 130,22 130,22 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-02 1 1 129,57 129,57 129,57 129,57 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-03 1 1 129,43 129,43 129,43 129,43 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-07 1 1 130,07 130,07 130,07 130,07 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-08 1 1 130,96 130,96 130,96 130,96 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-09 1 1 130,82 130,82 130,82 130,82 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-10 1 1 131,49 131,49 131,49 131,49 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-13 1 1 131,79 131,79 131,79 131,79 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-14 1 1 132,94 132,94 132,94 132,94 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-15 1 1 132,95 132,95 132,95 132,95 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-16 1 1 132,76 132,76 132,76 132,76 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-17 1 1 133,29 133,29 133,29 133,29 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-20 1 1 133,23 133,23 133,23 133,23 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-21 1 1 133,83 133,83 133,83 133,83 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-22 1 1 134,55 134,55 134,55 134,55 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-23 1 1 135,4 135,4 135,4 135,4 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-27 1 1 133,04 133,04 133,04 133,04 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-28 1 1 134 134 134 134 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-29 1 1 134,77 134,77 134,77 134,77 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-06-30 1 1 135,23 135,23 135,23 135,23 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-01 1 1 135,61 135,61 135,61 135,61 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-04 1 1 136,34 136,34 136,34 136,34 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-05 1 1 136,19 136,19 136,19 136,19 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-06 1 1 136,83 136,83 136,83 136,83 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-07 1 1 134,34 134,34 134,34 134,34 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-08 1 1 136,41 136,41 136,41 136,41 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-11 1 1 138,53 138,53 138,53 138,53 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-12 1 1 138,66 138,66 138,66 138,66 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-13 1 1 139,62 139,62 139,62 139,62 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-14 1 1 139,63 139,63 139,63 139,63 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-15 1 1 139,55 139,55 139,55 139,55 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-18 1 1 139,68 139,68 139,68 139,68 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-19 1 1 139,84 139,84 139,84 139,84 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-20 1 1 139,33 139,33 139,33 139,33 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-21 1 1 140,42 140,42 140,42 140,42 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-22 1 1 140,77 140,77 140,77 140,77 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-25 1 1 139,81 139,81 139,81 139,81 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-26 1 1 140,34 140,34 140,34 140,34 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-27 1 1 140,84 140,84 140,84 140,84 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-28 1 1 141,62 141,62 141,62 141,62 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-07-29 1 1 141,54 141,54 141,54 141,54 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-01 1 1 141,7 141,7 141,7 141,7 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-02 1 1 142,36 142,36 142,36 142,36 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-03 1 1 142,34 142,34 142,34 142,34 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-04 1 1 141,77 141,77 141,77 141,77 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-05 1 1 141,55 141,55 141,55 141,55 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-08 1 1 141,3 141,3 141,3 141,3 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-09 1 1 141,52 141,52 141,52 141,52 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-10 1 1 142,95 142,95 142,95 142,95 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-11 1 1 141,8 141,8 141,8 141,8 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-12 1 1 141,71 141,71 141,71 141,71 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-15 1 1 141,47 141,47 141,47 141,47 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-16 1 1 141,75 141,75 141,75 141,75 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-17 1 1 141,18 141,18 141,18 141,18 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-18 1 1 141,04 141,04 141,04 141,04 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-19 1 1 142,2 142,2 142,2 142,2 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-22 1 1 142,25 142,25 142,25 142,25 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-23 1 1 141,09 141,09 141,09 141,09 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-24 1 1 139,07 139,07 139,07 139,07 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-25 1 1 137,94 137,94 137,94 137,94 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-26 1 1 136,92 136,92 136,92 136,92 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-29 1 1 137,29 137,29 137,29 137,29 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-30 1 1 138,08 138,08 138,08 138,08 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-08-31 1 1 138,55 138,55 138,55 138,55 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-01 1 1 139,74 139,74 139,74 139,74 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-02 1 1 139,42 139,42 139,42 139,42 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-05 1 1 140,5 140,5 140,5 140,5 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-06 1 1 141,39 141,39 141,39 141,39 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-07 1 1 141,89 141,89 141,89 141,89 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-08 1 1 141,26 141,26 141,26 141,26 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-09 1 1 142,26 142,26 142,26 142,26 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-12 1 1 142,69 142,69 142,69 142,69 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-13 1 1 142,22 142,22 142,22 142,22 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-14 1 1 143,01 143,01 143,01 143,01 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-15 1 1 142,63 142,63 142,63 142,63 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-16 1 1 142,77 142,77 142,77 142,77 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-19 1 1 143,52 143,52 143,52 143,52 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-20 1 1 143,16 143,16 143,16 143,16 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-21 1 1 142,42 142,42 142,42 142,42 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-22 1 1 142 142 142 142 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-23 1 1 142,51 142,51 142,51 142,51 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-26 1 1 144,19 144,19 144,19 144,19 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-27 1 1 144,59 144,59 144,59 144,59 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-28 1 1 145,6 145,6 145,6 145,6 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-29 1 1 145,52 145,52 145,52 145,52 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-09-30 1 1 146,63 146,63 146,63 146,63 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-03 1 1 147,36 147,36 147,36 147,36 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-04 1 1 147,32 147,32 147,32 147,32 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-05 1 1 146,3 146,3 146,3 146,3 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-06 1 1 144,67 144,67 144,67 144,67 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-07 1 1 144,53 144,53 144,53 144,53 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-10 1 1 145,23 145,23 145,23 145,23 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-11 1 1 145,51 145,51 145,51 145,51 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-12 1 1 144,45 144,45 144,45 144,45 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-13 1 1 142,26 142,26 142,26 142,26 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-14 1 1 142,44 142,44 142,44 142,44 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-17 1 1 142,32 142,32 142,32 142,32 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-18 1 1 141,61 141,61 141,61 141,61 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-19 1 1 139,39 139,39 139,39 139,39 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-20 1 1 140,27 140,27 140,27 140,27 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-21 1 1 138,58 138,58 138,58 138,58 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-24 1 1 140,41 140,41 140,41 140,41 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-25 1 1 141,73 141,73 141,73 141,73 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-26 1 1 142,23 142,23 142,23 142,23 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-27 1 1 141,18 141,18 141,18 141,18 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-28 1 1 140,53 140,53 140,53 140,53 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-10-31 1 1 143,62 143,62 143,62 143,62 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-01 1 1 144,28 144,28 144,28 144,28 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-02 1 1 144,45 144,45 144,45 144,45 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-03 1 1 146,25 146,25 146,25 146,25 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-04 1 1 146,1 146,1 146,1 146,1 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-07 1 1 146,76 146,76 146,76 146,76 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-08 1 1 146,68 146,68 146,68 146,68 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-09 1 1 146,61 146,61 146,61 146,61 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-10 1 1 147,31 147,31 147,31 147,31 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-11 1 1 148,54 148,54 148,54 148,54 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-14 1 1 149,24 149,24 149,24 149,24 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-15 1 1 148,51 148,51 148,51 148,51 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-16 1 1 148,51 148,51 148,51 148,51 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-17 1 1 149,29 149,29 149,29 149,29 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-18 1 1 149,62 149,62 149,62 149,62 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-21 1 1 149,8 149,8 149,8 149,8 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-22 1 1 150,21 150,21 150,21 150,21 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-23 1 1 150,27 150,27 150,27 150,27 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-24 1 1 149,88 149,88 149,88 149,88 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-25 1 1 150,43 150,43 150,43 150,43 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-28 1 1 150,6 150,6 150,6 150,6 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-29 1 1 150,87 150,87 150,87 150,87 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-11-30 1 1 149,64 149,64 149,64 149,64 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-01 1 1 151,26 151,26 151,26 151,26 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-02 1 1 152,56 152,56 152,56 152,56 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-05 1 1 152,59 152,59 152,59 152,59 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-06 1 1 153,26 153,26 153,26 153,26 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-07 1 1 153,3 153,3 153,3 153,3 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-08 1 1 153,4 153,4 153,4 153,4 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-12 1 1 154,11 154,11 154,11 154,11 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-13 1 1 153,92 153,92 153,92 153,92 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-14 1 1 153,46 153,46 153,46 153,46 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-15 1 1 153,36 153,36 153,36 153,36 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-16 1 1 153,73 153,73 153,73 153,73 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-19 1 1 154,35 154,35 154,35 154,35 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-20 1 1 154,18 154,18 154,18 154,18 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-21 1 1 155,26 155,26 155,26 155,26 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-22 1 1 155,68 155,68 155,68 155,68 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-23 1 1 157,17 157,17 157,17 157,17 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-27 1 1 157,98 157,98 157,98 157,98 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-28 1 1 157,73 157,73 157,73 157,73 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-29 1 1 158,35 158,35 158,35 158,35 905265 Folksam LO Fond AB (publ) Folksam LO Västfonden SEK 2005-12-30 1 1 157,79 157,79 157,79 157,79 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-03 1 1 72,48 72,48 72,48 72,48 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-04 1 1 72,64 72,64 72,64 72,64 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-05 1 1 72,62 72,62 72,62 72,62 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-07 1 1 72,19 72,19 72,19 72,19 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-10 1 1 72,81 72,81 72,81 72,81 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-11 1 1 72,93 72,93 72,93 72,93 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-12 1 1 73,18 73,18 73,18 73,18 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-13 1 1 73,09 73,09 73,09 73,09 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-14 1 1 74,22 74,22 74,22 74,22 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-17 1 1 75,31 75,31 75,31 75,31 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-18 1 1 75,83 75,83 75,83 75,83 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-19 1 1 75,25 75,25 75,25 75,25 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-20 1 1 75,23 75,23 75,23 75,23 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-21 1 1 75,27 75,27 75,27 75,27 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-24 1 1 74,72 74,72 74,72 74,72 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-25 1 1 75,16 75,16 75,16 75,16 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-26 1 1 76,33 76,33 76,33 76,33 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-27 1 1 75,44 75,44 75,44 75,44 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-28 1 1 76,06 76,06 76,06 76,06 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-01-31 1 1 76,65 76,65 76,65 76,65 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-01 1 1 75,93 75,93 75,93 75,93 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-02 1 1 75,5 75,5 75,5 75,5 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-03 1 1 75,97 75,97 75,97 75,97 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-04 1 1 76,68 76,68 76,68 76,68 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-07 1 1 78,29 78,29 78,29 78,29 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-08 1 1 79,03 79,03 79,03 79,03 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-09 1 1 78,54 78,54 78,54 78,54 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-10 1 1 78,31 78,31 78,31 78,31 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-11 1 1 78,45 78,45 78,45 78,45 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-14 1 1 79,18 79,18 79,18 79,18 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-15 1 1 78,94 78,94 78,94 78,94 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-16 1 1 78,61 78,61 78,61 78,61 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-17 1 1 78,39 78,39 78,39 78,39 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-18 1 1 79,02 79,02 79,02 79,02 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-21 1 1 79,4 79,4 79,4 79,4 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-22 1 1 78,62 78,62 78,62 78,62 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-23 1 1 77,89 77,89 77,89 77,89 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-24 1 1 78,34 78,34 78,34 78,34 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-25 1 1 79,2 79,2 79,2 79,2 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-02-28 1 1 79,24 79,24 79,24 79,24 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-01 1 1 79,5 79,5 79,5 79,5 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-02 1 1 78,79 78,79 78,79 78,79 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-03 1 1 79,24 79,24 79,24 79,24 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-04 1 1 78,58 78,58 78,58 78,58 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-07 1 1 78,31 78,31 78,31 78,31 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-08 1 1 78,28 78,28 78,28 78,28 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-09 1 1 78,07 78,07 78,07 78,07 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-10 1 1 77,47 77,47 77,47 77,47 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-11 1 1 76,13 76,13 76,13 76,13 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-14 1 1 75,85 75,85 75,85 75,85 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-15 1 1 75,35 75,35 75,35 75,35 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-16 1 1 75,73 75,73 75,73 75,73 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-17 1 1 75,31 75,31 75,31 75,31 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-18 1 1 75,58 75,58 75,58 75,58 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-21 1 1 76,34 76,34 76,34 76,34 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-22 1 1 76,13 76,13 76,13 76,13 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-23 1 1 75,77 75,77 75,77 75,77 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-24 1 1 75,57 75,57 75,57 75,57 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-29 1 1 75,48 75,48 75,48 75,48 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-30 1 1 75,03 75,03 75,03 75,03 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-03-31 1 1 75,97 75,97 75,97 75,97 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-01 1 1 76,9 76,9 76,9 76,9 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-04 1 1 77,31 77,31 77,31 77,31 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-05 1 1 77,62 77,62 77,62 77,62 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-06 1 1 77,55 77,55 77,55 77,55 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-07 1 1 77,42 77,42 77,42 77,42 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-08 1 1 78,37 78,37 78,37 78,37 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-11 1 1 77,71 77,71 77,71 77,71 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-12 1 1 77,04 77,04 77,04 77,04 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-13 1 1 77,76 77,76 77,76 77,76 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-14 1 1 77,09 77,09 77,09 77,09 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-15 1 1 76,67 76,67 76,67 76,67 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-18 1 1 74,26 74,26 74,26 74,26 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-19 1 1 74,78 74,78 74,78 74,78 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-20 1 1 74,99 74,99 74,99 74,99 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-21 1 1 75,03 75,03 75,03 75,03 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-22 1 1 75,38 75,38 75,38 75,38 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-25 1 1 75,85 75,85 75,85 75,85 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-26 1 1 76,18 76,18 76,18 76,18 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-27 1 1 76,03 76,03 76,03 76,03 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-28 1 1 75,62 75,62 75,62 75,62 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-04-29 1 1 75,53 75,53 75,53 75,53 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-02 1 1 76,39 76,39 76,39 76,39 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-03 1 1 76,7 76,7 76,7 76,7 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-04 1 1 76,75 76,75 76,75 76,75 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-06 1 1 77,36 77,36 77,36 77,36 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-09 1 1 78,05 78,05 78,05 78,05 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-10 1 1 78,13 78,13 78,13 78,13 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-11 1 1 77,23 77,23 77,23 77,23 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-12 1 1 78,19 78,19 78,19 78,19 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-13 1 1 78,14 78,14 78,14 78,14 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-16 1 1 78,61 78,61 78,61 78,61 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-17 1 1 78,15 78,15 78,15 78,15 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-18 1 1 78,12 78,12 78,12 78,12 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-19 1 1 78,61 78,61 78,61 78,61 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-20 1 1 78,81 78,81 78,81 78,81 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-23 1 1 79,05 79,05 79,05 79,05 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-24 1 1 79,12 79,12 79,12 79,12 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-25 1 1 78,24 78,24 78,24 78,24 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-26 1 1 78,43 78,43 78,43 78,43 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-27 1 1 79,36 79,36 79,36 79,36 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-30 1 1 79,9 79,9 79,9 79,9 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-05-31 1 1 80,23 80,23 80,23 80,23 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-01 1 1 80,55 80,55 80,55 80,55 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-02 1 1 80,94 80,94 80,94 80,94 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-03 1 1 80,83 80,83 80,83 80,83 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-07 1 1 81,29 81,29 81,29 81,29 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-08 1 1 81,53 81,53 81,53 81,53 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-09 1 1 82,63 82,63 82,63 82,63 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-10 1 1 83,06 83,06 83,06 83,06 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-13 1 1 84,27 84,27 84,27 84,27 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-14 1 1 84 84 84 84 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-15 1 1 85,26 85,26 85,26 85,26 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-16 1 1 84,88 84,88 84,88 84,88 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-17 1 1 84,73 84,73 84,73 84,73 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-20 1 1 83,48 83,48 83,48 83,48 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-21 1 1 84,36 84,36 84,36 84,36 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-22 1 1 84,96 84,96 84,96 84,96 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-23 1 1 86,74 86,74 86,74 86,74 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-27 1 1 85,84 85,84 85,84 85,84 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-28 1 1 86,21 86,21 86,21 86,21 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-29 1 1 86,94 86,94 86,94 86,94 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-06-30 1 1 87,01 87,01 87,01 87,01 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-01 1 1 87,52 87,52 87,52 87,52 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-04 1 1 88,35 88,35 88,35 88,35 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-05 1 1 87,98 87,98 87,98 87,98 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-06 1 1 87,79 87,79 87,79 87,79 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-07 1 1 87,27 87,27 87,27 87,27 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-08 1 1 87,34 87,34 87,34 87,34 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-11 1 1 88,66 88,66 88,66 88,66 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-12 1 1 87,75 87,75 87,75 87,75 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-13 1 1 87,77 87,77 87,77 87,77 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-14 1 1 89,43 89,43 89,43 89,43 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-15 1 1 88,91 88,91 88,91 88,91 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-18 1 1 89,52 89,52 89,52 89,52 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-19 1 1 91,02 91,02 91,02 91,02 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-20 1 1 90,71 90,71 90,71 90,71 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-21 1 1 90,88 90,88 90,88 90,88 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-22 1 1 91,69 91,69 91,69 91,69 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-25 1 1 93,39 93,39 93,39 93,39 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-26 1 1 92,74 92,74 92,74 92,74 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-27 1 1 93,63 93,63 93,63 93,63 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-28 1 1 93,7 93,7 93,7 93,7 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-07-29 1 1 93,21 93,21 93,21 93,21 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-01 1 1 93,39 93,39 93,39 93,39 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-02 1 1 93,95 93,95 93,95 93,95 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-03 1 1 93,99 93,99 93,99 93,99 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-04 1 1 93,09 93,09 93,09 93,09 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-05 1 1 91,32 91,32 91,32 91,32 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-08 1 1 91,62 91,62 91,62 91,62 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-09 1 1 91,61 91,61 91,61 91,61 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-10 1 1 92,71 92,71 92,71 92,71 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-11 1 1 92,73 92,73 92,73 92,73 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-12 1 1 92,29 92,29 92,29 92,29 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-15 1 1 92,62 92,62 92,62 92,62 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-16 1 1 92,31 92,31 92,31 92,31 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-17 1 1 92,93 92,93 92,93 92,93 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-18 1 1 91,59 91,59 91,59 91,59 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-19 1 1 91,98 91,98 91,98 91,98 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-22 1 1 93,4 93,4 93,4 93,4 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-23 1 1 92,28 92,28 92,28 92,28 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-24 1 1 91,39 91,39 91,39 91,39 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-25 1 1 90,45 90,45 90,45 90,45 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-26 1 1 90,31 90,31 90,31 90,31 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-29 1 1 89,02 89,02 89,02 89,02 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-30 1 1 90,06 90,06 90,06 90,06 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-08-31 1 1 90,5 90,5 90,5 90,5 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-01 1 1 90,89 90,89 90,89 90,89 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-02 1 1 90,25 90,25 90,25 90,25 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-05 1 1 89,8 89,8 89,8 89,8 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-06 1 1 90,91 90,91 90,91 90,91 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-07 1 1 91,11 91,11 91,11 91,11 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-08 1 1 92,05 92,05 92,05 92,05 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-09 1 1 92,47 92,47 92,47 92,47 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-12 1 1 93,42 93,42 93,42 93,42 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-13 1 1 93,36 93,36 93,36 93,36 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-14 1 1 94,25 94,25 94,25 94,25 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-15 1 1 94,92 94,92 94,92 94,92 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-16 1 1 94,14 94,14 94,14 94,14 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-19 1 1 95,06 95,06 95,06 95,06 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-20 1 1 96,14 96,14 96,14 96,14 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-21 1 1 95,85 95,85 95,85 95,85 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-22 1 1 95,68 95,68 95,68 95,68 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-23 1 1 95,54 95,54 95,54 95,54 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-26 1 1 97,57 97,57 97,57 97,57 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-27 1 1 97,57 97,57 97,57 97,57 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-28 1 1 98,05 98,05 98,05 98,05 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-29 1 1 98,41 98,41 98,41 98,41 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-09-30 1 1 98,02 98,02 98,02 98,02 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-03 1 1 97,8 97,8 97,8 97,8 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-04 1 1 98,49 98,49 98,49 98,49 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-05 1 1 97,87 97,87 97,87 97,87 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-06 1 1 94,87 94,87 94,87 94,87 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-07 1 1 94,55 94,55 94,55 94,55 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-10 1 1 95,87 95,87 95,87 95,87 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-11 1 1 96,99 96,99 96,99 96,99 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-12 1 1 95,79 95,79 95,79 95,79 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-13 1 1 95,04 95,04 95,04 95,04 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-14 1 1 94,55 94,55 94,55 94,55 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-17 1 1 94,19 94,19 94,19 94,19 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-18 1 1 95,25 95,25 95,25 95,25 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-19 1 1 93,72 93,72 93,72 93,72 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-20 1 1 93,74 93,74 93,74 93,74 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-21 1 1 93,84 93,84 93,84 93,84 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-24 1 1 94,68 94,68 94,68 94,68 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-25 1 1 94,63 94,63 94,63 94,63 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-26 1 1 93,71 93,71 93,71 93,71 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-27 1 1 92,98 92,98 92,98 92,98 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-28 1 1 91,29 91,29 91,29 91,29 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-10-31 1 1 93,5 93,5 93,5 93,5 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-01 1 1 95,83 95,83 95,83 95,83 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-02 1 1 97,08 97,08 97,08 97,08 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-03 1 1 97,86 97,86 97,86 97,86 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-04 1 1 97,96 97,96 97,96 97,96 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-07 1 1 98,25 98,25 98,25 98,25 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-08 1 1 98,96 98,96 98,96 98,96 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-09 1 1 98,95 98,95 98,95 98,95 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-10 1 1 99,95 99,95 99,95 99,95 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-11 1 1 101,84 101,84 101,84 101,84 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-14 1 1 100,28 100,28 100,28 100,28 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-15 1 1 100,87 100,87 100,87 100,87 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-16 1 1 101,33 101,33 101,33 101,33 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-17 1 1 102,55 102,55 102,55 102,55 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-18 1 1 102,81 102,81 102,81 102,81 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-21 1 1 101,21 101,21 101,21 101,21 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-22 1 1 100,34 100,34 100,34 100,34 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-23 1 1 101,21 101,21 101,21 101,21 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-24 1 1 101,59 101,59 101,59 101,59 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-25 1 1 101,57 101,57 101,57 101,57 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-28 1 1 102,31 102,31 102,31 102,31 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-29 1 1 100,48 100,48 100,48 100,48 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-11-30 1 1 101,87 101,87 101,87 101,87 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-01 1 1 102,17 102,17 102,17 102,17 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-02 1 1 102,78 102,78 102,78 102,78 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-05 1 1 102,42 102,42 102,42 102,42 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-06 1 1 101,99 101,99 101,99 101,99 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-07 1 1 103,38 103,38 103,38 103,38 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-08 1 1 102,52 102,52 102,52 102,52 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-12 1 1 102,71 102,71 102,71 102,71 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-13 1 1 102,36 102,36 102,36 102,36 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-14 1 1 101,91 101,91 101,91 101,91 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-15 1 1 102,25 102,25 102,25 102,25 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-16 1 1 102,16 102,16 102,16 102,16 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-19 1 1 102,89 102,89 102,89 102,89 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-20 1 1 102,8 102,8 102,8 102,8 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-21 1 1 104,69 104,69 104,69 104,69 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-22 1 1 104,97 104,97 104,97 104,97 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-23 1 1 105,31 105,31 105,31 105,31 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-27 1 1 106,69 106,69 106,69 106,69 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-28 1 1 105,04 105,04 105,04 105,04 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-29 1 1 105,75 105,75 105,75 105,75 471052 Folksam Fond AB (publ) Folksams Aktiefond Asien SEK 2005-12-30 1 1 106,11 106,11 106,11 106,11 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-03 1 1 167,37 167,37 167,37 167,37 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-04 1 1 168,22 168,22 168,22 168,22 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-05 1 1 167,62 167,62 167,62 167,62 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-07 1 1 168,97 168,97 168,97 168,97 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-10 1 1 169,14 169,14 169,14 169,14 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-11 1 1 167,73 167,73 167,73 167,73 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-12 1 1 166,86 166,86 166,86 166,86 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-13 1 1 167,33 167,33 167,33 167,33 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-14 1 1 168,03 168,03 168,03 168,03 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-17 1 1 169,11 169,11 169,11 169,11 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-18 1 1 167,9 167,9 167,9 167,9 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-19 1 1 168,38 168,38 168,38 168,38 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-20 1 1 167,55 167,55 167,55 167,55 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-21 1 1 168,31 168,31 168,31 168,31 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-24 1 1 168,11 168,11 168,11 168,11 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-25 1 1 169,62 169,62 169,62 169,62 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-26 1 1 170,3 170,3 170,3 170,3 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-27 1 1 169,53 169,53 169,53 169,53 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-28 1 1 170,86 170,86 170,86 170,86 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-01-31 1 1 171,72 171,72 171,72 171,72 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-01 1 1 172,06 172,06 172,06 172,06 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-02 1 1 172,53 172,53 172,53 172,53 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-03 1 1 172,33 172,33 172,33 172,33 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-04 1 1 173,92 173,92 173,92 173,92 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-07 1 1 175,44 175,44 175,44 175,44 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-08 1 1 175,51 175,51 175,51 175,51 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-09 1 1 175,47 175,47 175,47 175,47 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-10 1 1 175,74 175,74 175,74 175,74 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-11 1 1 176,55 176,55 176,55 176,55 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-14 1 1 177,21 177,21 177,21 177,21 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-15 1 1 177,53 177,53 177,53 177,53 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-16 1 1 176,9 176,9 176,9 176,9 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-17 1 1 177,68 177,68 177,68 177,68 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-18 1 1 177,69 177,69 177,69 177,69 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-21 1 1 178,04 178,04 178,04 178,04 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-22 1 1 175,91 175,91 175,91 175,91 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-23 1 1 175,18 175,18 175,18 175,18 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-24 1 1 174,73 174,73 174,73 174,73 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-25 1 1 176,1 176,1 176,1 176,1 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-02-28 1 1 176,26 176,26 176,26 176,26 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-01 1 1 176,89 176,89 176,89 176,89 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-02 1 1 176,84 176,84 176,84 176,84 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-03 1 1 177,71 177,71 177,71 177,71 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-04 1 1 177,83 177,83 177,83 177,83 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-07 1 1 177,88 177,88 177,88 177,88 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-08 1 1 177 177 177 177 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-09 1 1 176,09 176,09 176,09 176,09 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-10 1 1 175,71 175,71 175,71 175,71 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-11 1 1 171,28 171,28 171,28 171,28 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-14 1 1 170,24 170,24 170,24 170,24 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-15 1 1 172,31 172,31 172,31 172,31 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-16 1 1 170,93 170,93 170,93 170,93 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-17 1 1 170,39 170,39 170,39 170,39 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-18 1 1 171,07 171,07 171,07 171,07 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-21 1 1 172,02 172,02 172,02 172,02 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-22 1 1 171,37 171,37 171,37 171,37 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-23 1 1 170,31 170,31 170,31 170,31 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-24 1 1 171,54 171,54 171,54 171,54 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-29 1 1 171,77 171,77 171,77 171,77 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-30 1 1 171,65 171,65 171,65 171,65 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-03-31 1 1 172,44 172,44 172,44 172,44 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-01 1 1 173,69 173,69 173,69 173,69 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-04 1 1 172,16 172,16 172,16 172,16 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-05 1 1 174,2 174,2 174,2 174,2 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-06 1 1 174,57 174,57 174,57 174,57 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-07 1 1 174,58 174,58 174,58 174,58 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-08 1 1 175,69 175,69 175,69 175,69 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-11 1 1 175,35 175,35 175,35 175,35 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-12 1 1 174,51 174,51 174,51 174,51 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-13 1 1 175,14 175,14 175,14 175,14 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-14 1 1 175,65 175,65 175,65 175,65 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-15 1 1 174,18 174,18 174,18 174,18 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-18 1 1 170,53 170,53 170,53 170,53 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-19 1 1 171,89 171,89 171,89 171,89 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-20 1 1 170,62 170,62 170,62 170,62 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-21 1 1 171,03 171,03 171,03 171,03 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-22 1 1 171,07 171,07 171,07 171,07 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-25 1 1 171,84 171,84 171,84 171,84 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-26 1 1 170,69 170,69 170,69 170,69 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-27 1 1 169,05 169,05 169,05 169,05 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-28 1 1 168,79 168,79 168,79 168,79 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-04-29 1 1 170,46 170,46 170,46 170,46 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-02 1 1 171,49 171,49 171,49 171,49 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-03 1 1 172,59 172,59 172,59 172,59 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-04 1 1 171,97 171,97 171,97 171,97 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-06 1 1 173,66 173,66 173,66 173,66 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-09 1 1 173,72 173,72 173,72 173,72 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-10 1 1 172,68 172,68 172,68 172,68 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-11 1 1 173,04 173,04 173,04 173,04 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-12 1 1 173,77 173,77 173,77 173,77 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-13 1 1 172,85 172,85 172,85 172,85 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-16 1 1 173,15 173,15 173,15 173,15 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-17 1 1 173,66 173,66 173,66 173,66 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-18 1 1 174,75 174,75 174,75 174,75 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-19 1 1 175,41 175,41 175,41 175,41 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-20 1 1 176,13 176,13 176,13 176,13 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-23 1 1 176,39 176,39 176,39 176,39 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-24 1 1 176,58 176,58 176,58 176,58 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-25 1 1 176,61 176,61 176,61 176,61 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-26 1 1 177,45 177,45 177,45 177,45 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-27 1 1 177,8 177,8 177,8 177,8 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-30 1 1 178,1 178,1 178,1 178,1 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-05-31 1 1 177,8 177,8 177,8 177,8 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-01 1 1 178,63 178,63 178,63 178,63 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-02 1 1 179,99 179,99 179,99 179,99 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-03 1 1 179,27 179,27 179,27 179,27 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-07 1 1 180,57 180,57 180,57 180,57 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-08 1 1 180,69 180,69 180,69 180,69 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-09 1 1 181,24 181,24 181,24 181,24 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-10 1 1 182,47 182,47 182,47 182,47 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-13 1 1 183,51 183,51 183,51 183,51 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-14 1 1 185,19 185,19 185,19 185,19 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-15 1 1 185,24 185,24 185,24 185,24 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-16 1 1 185,12 185,12 185,12 185,12 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-17 1 1 186,43 186,43 186,43 186,43 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-20 1 1 184,04 184,04 184,04 184,04 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-21 1 1 185,89 185,89 185,89 185,89 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-22 1 1 186,92 186,92 186,92 186,92 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-23 1 1 188,72 188,72 188,72 188,72 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-27 1 1 186,6 186,6 186,6 186,6 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-28 1 1 188,07 188,07 188,07 188,07 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-29 1 1 189,9 189,9 189,9 189,9 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-06-30 1 1 190,52 190,52 190,52 190,52 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-01 1 1 190,35 190,35 190,35 190,35 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-04 1 1 191,56 191,56 191,56 191,56 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-05 1 1 190,45 190,45 190,45 190,45 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-06 1 1 191,64 191,64 191,64 191,64 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-07 1 1 187,45 187,45 187,45 187,45 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-08 1 1 190,09 190,09 190,09 190,09 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-11 1 1 192,33 192,33 192,33 192,33 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-12 1 1 191,79 191,79 191,79 191,79 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-13 1 1 191,36 191,36 191,36 191,36 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-14 1 1 192,27 192,27 192,27 192,27 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-15 1 1 192,06 192,06 192,06 192,06 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-18 1 1 191,3 191,3 191,3 191,3 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-19 1 1 193,04 193,04 193,04 193,04 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-20 1 1 192,05 192,05 192,05 192,05 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-21 1 1 193,15 193,15 193,15 193,15 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-22 1 1 193,01 193,01 193,01 193,01 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-25 1 1 193,43 193,43 193,43 193,43 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-26 1 1 193,51 193,51 193,51 193,51 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-27 1 1 195,22 195,22 195,22 195,22 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-28 1 1 195,38 195,38 195,38 195,38 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-07-29 1 1 194,65 194,65 194,65 194,65 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-01 1 1 194,53 194,53 194,53 194,53 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-02 1 1 195,1 195,1 195,1 195,1 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-03 1 1 194,92 194,92 194,92 194,92 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-04 1 1 193,78 193,78 193,78 193,78 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-05 1 1 193,07 193,07 193,07 193,07 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-08 1 1 193,58 193,58 193,58 193,58 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-09 1 1 194,43 194,43 194,43 194,43 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-10 1 1 196,42 196,42 196,42 196,42 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-11 1 1 195,79 195,79 195,79 195,79 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-12 1 1 194,85 194,85 194,85 194,85 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-15 1 1 195,5 195,5 195,5 195,5 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-16 1 1 195,3 195,3 195,3 195,3 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-17 1 1 194,62 194,62 194,62 194,62 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-18 1 1 194,14 194,14 194,14 194,14 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-19 1 1 195,69 195,69 195,69 195,69 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-22 1 1 197,14 197,14 197,14 197,14 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-23 1 1 195,45 195,45 195,45 195,45 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-24 1 1 193,73 193,73 193,73 193,73 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-25 1 1 192,48 192,48 192,48 192,48 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-26 1 1 191,62 191,62 191,62 191,62 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-29 1 1 191,38 191,38 191,38 191,38 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-30 1 1 191,68 191,68 191,68 191,68 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-08-31 1 1 193,15 193,15 193,15 193,15 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-01 1 1 194,48 194,48 194,48 194,48 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-02 1 1 193,7 193,7 193,7 193,7 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-05 1 1 194,2 194,2 194,2 194,2 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-06 1 1 196,12 196,12 196,12 196,12 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-07 1 1 196,59 196,59 196,59 196,59 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-08 1 1 196,75 196,75 196,75 196,75 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-09 1 1 197,81 197,81 197,81 197,81 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-12 1 1 197,55 197,55 197,55 197,55 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-13 1 1 196,05 196,05 196,05 196,05 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-14 1 1 197,02 197,02 197,02 197,02 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-15 1 1 197,63 197,63 197,63 197,63 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-16 1 1 198,32 198,32 198,32 198,32 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-19 1 1 198,78 198,78 198,78 198,78 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-20 1 1 198,75 198,75 198,75 198,75 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-21 1 1 196,83 196,83 196,83 196,83 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-22 1 1 196,3 196,3 196,3 196,3 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-23 1 1 197,28 197,28 197,28 197,28 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-26 1 1 199,69 199,69 199,69 199,69 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-27 1 1 199,97 199,97 199,97 199,97 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-28 1 1 201,3 201,3 201,3 201,3 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-29 1 1 200,38 200,38 200,38 200,38 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-09-30 1 1 200,24 200,24 200,24 200,24 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-03 1 1 201,19 201,19 201,19 201,19 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-04 1 1 201,19 201,19 201,19 201,19 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-05 1 1 200,73 200,73 200,73 200,73 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-06 1 1 197,24 197,24 197,24 197,24 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-07 1 1 197,2 197,2 197,2 197,2 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-10 1 1 197,53 197,53 197,53 197,53 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-11 1 1 198,29 198,29 198,29 198,29 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-12 1 1 197,71 197,71 197,71 197,71 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-13 1 1 195,33 195,33 195,33 195,33 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-14 1 1 196,69 196,69 196,69 196,69 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-17 1 1 198,29 198,29 198,29 198,29 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-18 1 1 196,82 196,82 196,82 196,82 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-19 1 1 193,89 193,89 193,89 193,89 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-20 1 1 195,79 195,79 195,79 195,79 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-21 1 1 193,7 193,7 193,7 193,7 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-24 1 1 197,43 197,43 197,43 197,43 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-25 1 1 197,57 197,57 197,57 197,57 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-26 1 1 196,61 196,61 196,61 196,61 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-27 1 1 195,83 195,83 195,83 195,83 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-28 1 1 194,69 194,69 194,69 194,69 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-10-31 1 1 199,42 199,42 199,42 199,42 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-01 1 1 201,01 201,01 201,01 201,01 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-02 1 1 201,62 201,62 201,62 201,62 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-03 1 1 206,77 206,77 206,77 206,77 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-04 1 1 205,62 205,62 205,62 205,62 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-07 1 1 206,85 206,85 206,85 206,85 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-08 1 1 205,81 205,81 205,81 205,81 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-09 1 1 205,32 205,32 205,32 205,32 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-10 1 1 206,53 206,53 206,53 206,53 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-11 1 1 208,95 208,95 208,95 208,95 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-14 1 1 207,71 207,71 207,71 207,71 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-15 1 1 207,04 207,04 207,04 207,04 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-16 1 1 206,45 206,45 206,45 206,45 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-17 1 1 208,19 208,19 208,19 208,19 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-18 1 1 208,63 208,63 208,63 208,63 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-21 1 1 208,3 208,3 208,3 208,3 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-22 1 1 208,54 208,54 208,54 208,54 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-23 1 1 208,39 208,39 208,39 208,39 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-24 1 1 207,91 207,91 207,91 207,91 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-25 1 1 208,61 208,61 208,61 208,61 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-28 1 1 207,46 207,46 207,46 207,46 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-29 1 1 207,61 207,61 207,61 207,61 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-11-30 1 1 207,62 207,62 207,62 207,62 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-01 1 1 209,78 209,78 209,78 209,78 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-02 1 1 210,63 210,63 210,63 210,63 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-05 1 1 209,37 209,37 209,37 209,37 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-06 1 1 210,43 210,43 210,43 210,43 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-07 1 1 211,11 211,11 211,11 211,11 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-08 1 1 209,1 209,1 209,1 209,1 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-12 1 1 211,19 211,19 211,19 211,19 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-13 1 1 211,22 211,22 211,22 211,22 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-14 1 1 211,56 211,56 211,56 211,56 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-15 1 1 210,84 210,84 210,84 210,84 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-16 1 1 212,95 212,95 212,95 212,95 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-19 1 1 211,91 211,91 211,91 211,91 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-20 1 1 210,51 210,51 210,51 210,51 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-21 1 1 213,8 213,8 213,8 213,8 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-22 1 1 213,66 213,66 213,66 213,66 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-23 1 1 213,7 213,7 213,7 213,7 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-27 1 1 215,33 215,33 215,33 215,33 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-28 1 1 214 214 214 214 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-29 1 1 213,79 213,79 213,79 213,79 686030 Folksam Fond AB (publ) Folksams Aktiefond Europa SEK 2005-12-30 1 1 213,45 213,45 213,45 213,45 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-03 1 1 70,91 70,91 70,91 70,91 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-04 1 1 71,71 71,71 71,71 71,71 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-05 1 1 70,93 70,93 70,93 70,93 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-07 1 1 71,31 71,31 71,31 71,31 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-10 1 1 71,89 71,89 71,89 71,89 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-11 1 1 72,57 72,57 72,57 72,57 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-12 1 1 72,61 72,61 72,61 72,61 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-13 1 1 72,07 72,07 72,07 72,07 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-14 1 1 72,78 72,78 72,78 72,78 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-17 1 1 73,68 73,68 73,68 73,68 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-18 1 1 73,31 73,31 73,31 73,31 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-19 1 1 72,74 72,74 72,74 72,74 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-20 1 1 72,23 72,23 72,23 72,23 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-21 1 1 71,67 71,67 71,67 71,67 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-24 1 1 72,22 72,22 72,22 72,22 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-25 1 1 72,06 72,06 72,06 72,06 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-26 1 1 72,73 72,73 72,73 72,73 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-27 1 1 72,1 72,1 72,1 72,1 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-28 1 1 72,6 72,6 72,6 72,6 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-01-31 1 1 72,75 72,75 72,75 72,75 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-01 1 1 72,41 72,41 72,41 72,41 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-02 1 1 72,45 72,45 72,45 72,45 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-03 1 1 72,09 72,09 72,09 72,09 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-04 1 1 71,98 71,98 71,98 71,98 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-07 1 1 73,14 73,14 73,14 73,14 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-08 1 1 73,22 73,22 73,22 73,22 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-09 1 1 72,9 72,9 72,9 72,9 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-10 1 1 73,2 73,2 73,2 73,2 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-11 1 1 72,98 72,98 72,98 72,98 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-14 1 1 73,71 73,71 73,71 73,71 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-15 1 1 73,33 73,33 73,33 73,33 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-16 1 1 72,8 72,8 72,8 72,8 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-17 1 1 72,37 72,37 72,37 72,37 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-18 1 1 72,79 72,79 72,79 72,79 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-21 1 1 72,63 72,63 72,63 72,63 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-22 1 1 72,4 72,4 72,4 72,4 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-23 1 1 71,47 71,47 71,47 71,47 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-24 1 1 71,38 71,38 71,38 71,38 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-25 1 1 71,93 71,93 71,93 71,93 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-02-28 1 1 72,54 72,54 72,54 72,54 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-01 1 1 72,87 72,87 72,87 72,87 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-02 1 1 73,4 73,4 73,4 73,4 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-03 1 1 73,55 73,55 73,55 73,55 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-04 1 1 73,32 73,32 73,32 73,32 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-07 1 1 73,48 73,48 73,48 73,48 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-08 1 1 73,05 73,05 73,05 73,05 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-09 1 1 72,97 72,97 72,97 72,97 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-10 1 1 72,81 72,81 72,81 72,81 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-11 1 1 72,11 72,11 72,11 72,11 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-14 1 1 71,42 71,42 71,42 71,42 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-15 1 1 71,68 71,68 71,68 71,68 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-16 1 1 72,37 72,37 72,37 72,37 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-17 1 1 71,71 71,71 71,71 71,71 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-18 1 1 72,28 72,28 72,28 72,28 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-21 1 1 72,82 72,82 72,82 72,82 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-22 1 1 73,02 73,02 73,02 73,02 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-23 1 1 72,73 72,73 72,73 72,73 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-24 1 1 72,1 72,1 72,1 72,1 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-29 1 1 71,53 71,53 71,53 71,53 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-30 1 1 71,26 71,26 71,26 71,26 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-03-31 1 1 72,18 72,18 72,18 72,18 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-01 1 1 72,4 72,4 72,4 72,4 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-04 1 1 72,36 72,36 72,36 72,36 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-05 1 1 72,72 72,72 72,72 72,72 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-06 1 1 73,26 73,26 73,26 73,26 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-07 1 1 72,77 72,77 72,77 72,77 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-08 1 1 73,32 73,32 73,32 73,32 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-11 1 1 72,36 72,36 72,36 72,36 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-12 1 1 71,62 71,62 71,62 71,62 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-13 1 1 71,87 71,87 71,87 71,87 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-14 1 1 71,72 71,72 71,72 71,72 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-15 1 1 70,79 70,79 70,79 70,79 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-18 1 1 67,91 67,91 67,91 67,91 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-19 1 1 68,98 68,98 68,98 68,98 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-20 1 1 69,13 69,13 69,13 69,13 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-21 1 1 68,47 68,47 68,47 68,47 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-22 1 1 68,8 68,8 68,8 68,8 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-25 1 1 69,7 69,7 69,7 69,7 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-26 1 1 69,36 69,36 69,36 69,36 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-27 1 1 69,68 69,68 69,68 69,68 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-28 1 1 69,88 69,88 69,88 69,88 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-04-29 1 1 70,25 70,25 70,25 70,25 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-02 1 1 71,16 71,16 71,16 71,16 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-03 1 1 71,41 71,41 71,41 71,41 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-04 1 1 71,04 71,04 71,04 71,04 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-06 1 1 72,11 72,11 72,11 72,11 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-09 1 1 72,42 72,42 72,42 72,42 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-10 1 1 71,96 71,96 71,96 71,96 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-11 1 1 71,55 71,55 71,55 71,55 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-12 1 1 71,9 71,9 71,9 71,9 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-13 1 1 71,41 71,41 71,41 71,41 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-16 1 1 70,79 70,79 70,79 70,79 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-17 1 1 70,62 70,62 70,62 70,62 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-18 1 1 69,96 69,96 69,96 69,96 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-19 1 1 71,28 71,28 71,28 71,28 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-20 1 1 71,16 71,16 71,16 71,16 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-23 1 1 71,76 71,76 71,76 71,76 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-24 1 1 71,9 71,9 71,9 71,9 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-25 1 1 71,29 71,29 71,29 71,29 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-26 1 1 71,16 71,16 71,16 71,16 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-27 1 1 71,94 71,94 71,94 71,94 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-30 1 1 72,38 72,38 72,38 72,38 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-05-31 1 1 72,8 72,8 72,8 72,8 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-01 1 1 73,34 73,34 73,34 73,34 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-02 1 1 73,77 73,77 73,77 73,77 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-03 1 1 73,61 73,61 73,61 73,61 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-07 1 1 73,96 73,96 73,96 73,96 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-08 1 1 74,28 74,28 74,28 74,28 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-09 1 1 74,2 74,2 74,2 74,2 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-10 1 1 74,77 74,77 74,77 74,77 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-13 1 1 75,07 75,07 75,07 75,07 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-14 1 1 74,87 74,87 74,87 74,87 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-15 1 1 75,75 75,75 75,75 75,75 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-16 1 1 75,63 75,63 75,63 75,63 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-17 1 1 76,3 76,3 76,3 76,3 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-20 1 1 75,13 75,13 75,13 75,13 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-21 1 1 75,73 75,73 75,73 75,73 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-22 1 1 76,21 76,21 76,21 76,21 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-23 1 1 77,38 77,38 77,38 77,38 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-27 1 1 76,21 76,21 76,21 76,21 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-28 1 1 76,57 76,57 76,57 76,57 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-29 1 1 77,48 77,48 77,48 77,48 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-06-30 1 1 77,41 77,41 77,41 77,41 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-01 1 1 77,48 77,48 77,48 77,48 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-04 1 1 78,35 78,35 78,35 78,35 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-05 1 1 78,15 78,15 78,15 78,15 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-06 1 1 77,7 77,7 77,7 77,7 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-07 1 1 76,94 76,94 76,94 76,94 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-08 1 1 76,98 76,98 76,98 76,98 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-11 1 1 77,55 77,55 77,55 77,55 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-12 1 1 76,94 76,94 76,94 76,94 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-13 1 1 76,02 76,02 76,02 76,02 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-14 1 1 76,76 76,76 76,76 76,76 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-15 1 1 76,91 76,91 76,91 76,91 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-18 1 1 76,89 76,89 76,89 76,89 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-19 1 1 77,36 77,36 77,36 77,36 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-20 1 1 76,74 76,74 76,74 76,74 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-21 1 1 76,73 76,73 76,73 76,73 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-22 1 1 77,01 77,01 77,01 77,01 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-25 1 1 77,23 77,23 77,23 77,23 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-26 1 1 76,98 76,98 76,98 76,98 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-27 1 1 77,8 77,8 77,8 77,8 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-28 1 1 77,45 77,45 77,45 77,45 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-07-29 1 1 77,07 77,07 77,07 77,07 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-01 1 1 77,12 77,12 77,12 77,12 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-02 1 1 77,24 77,24 77,24 77,24 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-03 1 1 77,23 77,23 77,23 77,23 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-04 1 1 76,47 76,47 76,47 76,47 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-05 1 1 74,76 74,76 74,76 74,76 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-08 1 1 74,44 74,44 74,44 74,44 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-09 1 1 75,29 75,29 75,29 75,29 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-10 1 1 77,33 77,33 77,33 77,33 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-11 1 1 78,61 78,61 78,61 78,61 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-12 1 1 78,56 78,56 78,56 78,56 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-15 1 1 79,31 79,31 79,31 79,31 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-16 1 1 79,93 79,93 79,93 79,93 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-17 1 1 80,06 80,06 80,06 80,06 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-18 1 1 80,21 80,21 80,21 80,21 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-19 1 1 80,69 80,69 80,69 80,69 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-22 1 1 82,39 82,39 82,39 82,39 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-23 1 1 82,15 82,15 82,15 82,15 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-24 1 1 82,1 82,1 82,1 82,1 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-25 1 1 81,23 81,23 81,23 81,23 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-26 1 1 81,42 81,42 81,42 81,42 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-29 1 1 80,13 80,13 80,13 80,13 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-30 1 1 81,32 81,32 81,32 81,32 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-08-31 1 1 81,18 81,18 81,18 81,18 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-01 1 1 81,02 81,02 81,02 81,02 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-02 1 1 80,91 80,91 80,91 80,91 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-05 1 1 81,35 81,35 81,35 81,35 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-06 1 1 81,66 81,66 81,66 81,66 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-07 1 1 81,09 81,09 81,09 81,09 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-08 1 1 80,9 80,9 80,9 80,9 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-09 1 1 81,96 81,96 81,96 81,96 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-12 1 1 83,92 83,92 83,92 83,92 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-13 1 1 83,95 83,95 83,95 83,95 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-14 1 1 83,99 83,99 83,99 83,99 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-15 1 1 85,55 85,55 85,55 85,55 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-16 1 1 85,07 85,07 85,07 85,07 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-19 1 1 85,35 85,35 85,35 85,35 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-20 1 1 86,99 86,99 86,99 86,99 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-21 1 1 86,91 86,91 86,91 86,91 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-22 1 1 86,95 86,95 86,95 86,95 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-23 1 1 87,49 87,49 87,49 87,49 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-26 1 1 89,57 89,57 89,57 89,57 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-27 1 1 89,35 89,35 89,35 89,35 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-28 1 1 90,81 90,81 90,81 90,81 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-29 1 1 92,53 92,53 92,53 92,53 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-09-30 1 1 91,01 91,01 91,01 91,01 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-03 1 1 90,77 90,77 90,77 90,77 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-04 1 1 91,45 91,45 91,45 91,45 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-05 1 1 90,89 90,89 90,89 90,89 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-06 1 1 87,69 87,69 87,69 87,69 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-07 1 1 87,71 87,71 87,71 87,71 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-10 1 1 87,7 87,7 87,7 87,7 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-11 1 1 90,31 90,31 90,31 90,31 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-12 1 1 90,15 90,15 90,15 90,15 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-13 1 1 90,32 90,32 90,32 90,32 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-14 1 1 89,93 89,93 89,93 89,93 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-17 1 1 89,82 89,82 89,82 89,82 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-18 1 1 89,68 89,68 89,68 89,68 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-19 1 1 89,07 89,07 89,07 89,07 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-20 1 1 89,18 89,18 89,18 89,18 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-21 1 1 89,09 89,09 89,09 89,09 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-24 1 1 89,35 89,35 89,35 89,35 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-25 1 1 90,28 90,28 90,28 90,28 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-26 1 1 90,07 90,07 90,07 90,07 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-27 1 1 90,91 90,91 90,91 90,91 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-28 1 1 89,92 89,92 89,92 89,92 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-10-31 1 1 92,04 92,04 92,04 92,04 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-01 1 1 93,73 93,73 93,73 93,73 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-02 1 1 93,9 93,9 93,9 93,9 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-03 1 1 94,3 94,3 94,3 94,3 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-04 1 1 95,43 95,43 95,43 95,43 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-07 1 1 96,54 96,54 96,54 96,54 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-08 1 1 97,01 97,01 97,01 97,01 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-09 1 1 96,34 96,34 96,34 96,34 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-10 1 1 96,45 96,45 96,45 96,45 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-11 1 1 97,65 97,65 97,65 97,65 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-14 1 1 95,35 95,35 95,35 95,35 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-15 1 1 95,04 95,04 95,04 95,04 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-16 1 1 96,03 96,03 96,03 96,03 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-17 1 1 98,58 98,58 98,58 98,58 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-18 1 1 99,22 99,22 99,22 99,22 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-21 1 1 98,11 98,11 98,11 98,11 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-22 1 1 98,21 98,21 98,21 98,21 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-23 1 1 97,57 97,57 97,57 97,57 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-24 1 1 96,94 96,94 96,94 96,94 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-25 1 1 97,61 97,61 97,61 97,61 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-28 1 1 98,52 98,52 98,52 98,52 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-29 1 1 97,85 97,85 97,85 97,85 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-11-30 1 1 97,74 97,74 97,74 97,74 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-01 1 1 98,87 98,87 98,87 98,87 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-02 1 1 100,22 100,22 100,22 100,22 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-05 1 1 99,75 99,75 99,75 99,75 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-06 1 1 98,84 98,84 98,84 98,84 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-07 1 1 99,85 99,85 99,85 99,85 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-08 1 1 97,89 97,89 97,89 97,89 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-12 1 1 100,55 100,55 100,55 100,55 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-13 1 1 101 101 101 101 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-14 1 1 99,77 99,77 99,77 99,77 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-15 1 1 100,19 100,19 100,19 100,19 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-16 1 1 100,97 100,97 100,97 100,97 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-19 1 1 101,1 101,1 101,1 101,1 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-20 1 1 102,19 102,19 102,19 102,19 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-21 1 1 104,49 104,49 104,49 104,49 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-22 1 1 104,56 104,56 104,56 104,56 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-23 1 1 105,02 105,02 105,02 105,02 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-27 1 1 105,36 105,36 105,36 105,36 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-28 1 1 105,07 105,07 105,07 105,07 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-29 1 1 105,2 105,2 105,2 105,2 506881 Folksam Fond AB (publ) Folksams Aktiefond Japan SEK 2005-12-30 1 1 104,98 104,98 104,98 104,98 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-03 1 1 307,53 307,53 307,53 307,53 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-04 1 1 308,63 308,63 308,63 308,63 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-05 1 1 306,24 306,24 306,24 306,24 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-07 1 1 306,99 306,99 306,99 306,99 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-10 1 1 310,56 310,56 310,56 310,56 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-11 1 1 308,85 308,85 308,85 308,85 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-12 1 1 303,68 303,68 303,68 303,68 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-13 1 1 303,8 303,8 303,8 303,8 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-14 1 1 304,93 304,93 304,93 304,93 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-17 1 1 307,18 307,18 307,18 307,18 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-18 1 1 305,14 305,14 305,14 305,14 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-19 1 1 307,57 307,57 307,57 307,57 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-20 1 1 304,11 304,11 304,11 304,11 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-21 1 1 303,64 303,64 303,64 303,64 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-24 1 1 300,18 300,18 300,18 300,18 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-25 1 1 303,87 303,87 303,87 303,87 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-26 1 1 304,29 304,29 304,29 304,29 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-27 1 1 305,23 305,23 305,23 305,23 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-28 1 1 304,8 304,8 304,8 304,8 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-01-31 1 1 306,87 306,87 306,87 306,87 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-01 1 1 307,5 307,5 307,5 307,5 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-02 1 1 310,33 310,33 310,33 310,33 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-03 1 1 309,85 309,85 309,85 309,85 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-04 1 1 312,13 312,13 312,13 312,13 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-07 1 1 315,22 315,22 315,22 315,22 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-08 1 1 315,73 315,73 315,73 315,73 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-09 1 1 316,69 316,69 316,69 316,69 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-10 1 1 313,55 313,55 313,55 313,55 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-11 1 1 315,75 315,75 315,75 315,75 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-14 1 1 317,2 317,2 317,2 317,2 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-15 1 1 318,7 318,7 318,7 318,7 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-16 1 1 315,08 315,08 315,08 315,08 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-17 1 1 317,33 317,33 317,33 317,33 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-18 1 1 314,82 314,82 314,82 314,82 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-21 1 1 315,97 315,97 315,97 315,97 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-22 1 1 312,93 312,93 312,93 312,93 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-23 1 1 314,24 314,24 314,24 314,24 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-24 1 1 315,76 315,76 315,76 315,76 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-25 1 1 317,65 317,65 317,65 317,65 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-02-28 1 1 319 319 319 319 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-01 1 1 319,21 319,21 319,21 319,21 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-02 1 1 319,65 319,65 319,65 319,65 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-03 1 1 322,32 322,32 322,32 322,32 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-04 1 1 323,73 323,73 323,73 323,73 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-07 1 1 323,61 323,61 323,61 323,61 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-08 1 1 322,3 322,3 322,3 322,3 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-09 1 1 321,02 321,02 321,02 321,02 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-10 1 1 319,19 319,19 319,19 319,19 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-11 1 1 312,07 312,07 312,07 312,07 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-14 1 1 311,17 311,17 311,17 311,17 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-15 1 1 313,76 313,76 313,76 313,76 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-16 1 1 310,33 310,33 310,33 310,33 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-17 1 1 309,29 309,29 309,29 309,29 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-18 1 1 309,83 309,83 309,83 309,83 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-21 1 1 308,82 308,82 308,82 308,82 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-22 1 1 310 310 310 310 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-23 1 1 308,42 308,42 308,42 308,42 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-24 1 1 311,11 311,11 311,11 311,11 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-29 1 1 311,45 311,45 311,45 311,45 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-30 1 1 309,47 309,47 309,47 309,47 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-03-31 1 1 311,48 311,48 311,48 311,48 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-01 1 1 313,3 313,3 313,3 313,3 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-04 1 1 312,4 312,4 312,4 312,4 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-05 1 1 315,7 315,7 315,7 315,7 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-06 1 1 317,61 317,61 317,61 317,61 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-07 1 1 318,48 318,48 318,48 318,48 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-08 1 1 320,5 320,5 320,5 320,5 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-11 1 1 321,03 321,03 321,03 321,03 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-12 1 1 319,89 319,89 319,89 319,89 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-13 1 1 322,57 322,57 322,57 322,57 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-14 1 1 325,05 325,05 325,05 325,05 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-15 1 1 320 320 320 320 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-18 1 1 314,86 314,86 314,86 314,86 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-19 1 1 316,97 316,97 316,97 316,97 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-20 1 1 316,34 316,34 316,34 316,34 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-21 1 1 317,04 317,04 317,04 317,04 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-22 1 1 319,98 319,98 319,98 319,98 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-25 1 1 318,84 318,84 318,84 318,84 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-26 1 1 316,73 316,73 316,73 316,73 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-27 1 1 309,82 309,82 309,82 309,82 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-28 1 1 305,95 305,95 305,95 305,95 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-04-29 1 1 308,98 308,98 308,98 308,98 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-02 1 1 310,61 310,61 310,61 310,61 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-03 1 1 310,92 310,92 310,92 310,92 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-04 1 1 310,92 310,92 310,92 310,92 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-06 1 1 314,56 314,56 314,56 314,56 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-09 1 1 314,89 314,89 314,89 314,89 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-10 1 1 313,38 313,38 313,38 313,38 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-11 1 1 313,44 313,44 313,44 313,44 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-12 1 1 314,94 314,94 314,94 314,94 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-13 1 1 316,67 316,67 316,67 316,67 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-16 1 1 316,67 316,67 316,67 316,67 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-17 1 1 318,73 318,73 318,73 318,73 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-18 1 1 321,07 321,07 321,07 321,07 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-19 1 1 321,89 321,89 321,89 321,89 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-20 1 1 321,74 321,74 321,74 321,74 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-23 1 1 321,95 321,95 321,95 321,95 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-24 1 1 322,3 322,3 322,3 322,3 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-25 1 1 322,91 322,91 322,91 322,91 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-26 1 1 324,33 324,33 324,33 324,33 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-27 1 1 325,08 325,08 325,08 325,08 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-30 1 1 325,7 325,7 325,7 325,7 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-05-31 1 1 326,19 326,19 326,19 326,19 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-01 1 1 325,64 325,64 325,64 325,64 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-02 1 1 324,07 324,07 324,07 324,07 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-03 1 1 323,74 323,74 323,74 323,74 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-07 1 1 325,28 325,28 325,28 325,28 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-08 1 1 327,53 327,53 327,53 327,53 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-09 1 1 327,26 327,26 327,26 327,26 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-10 1 1 328,91 328,91 328,91 328,91 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-13 1 1 329 329 329 329 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-14 1 1 331,84 331,84 331,84 331,84 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-15 1 1 331,89 331,89 331,89 331,89 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-16 1 1 332,07 332,07 332,07 332,07 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-17 1 1 333,81 333,81 333,81 333,81 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-20 1 1 333,64 333,64 333,64 333,64 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-21 1 1 335,18 335,18 335,18 335,18 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-22 1 1 336,67 336,67 336,67 336,67 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-23 1 1 339 339 339 339 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-27 1 1 332,8 332,8 332,8 332,8 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-28 1 1 334,92 334,92 334,92 334,92 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-29 1 1 336,92 336,92 336,92 336,92 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-06-30 1 1 338,64 338,64 338,64 338,64 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-01 1 1 339,87 339,87 339,87 339,87 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-04 1 1 341,6 341,6 341,6 341,6 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-05 1 1 340,9 340,9 340,9 340,9 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-06 1 1 342,49 342,49 342,49 342,49 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-07 1 1 335,66 335,66 335,66 335,66 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-08 1 1 340,89 340,89 340,89 340,89 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-11 1 1 345,95 345,95 345,95 345,95 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-12 1 1 346,67 346,67 346,67 346,67 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-13 1 1 348,75 348,75 348,75 348,75 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-14 1 1 348,84 348,84 348,84 348,84 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-15 1 1 348,27 348,27 348,27 348,27 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-18 1 1 348,54 348,54 348,54 348,54 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-19 1 1 348,81 348,81 348,81 348,81 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-20 1 1 347,48 347,48 347,48 347,48 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-21 1 1 349,96 349,96 349,96 349,96 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-22 1 1 350,77 350,77 350,77 350,77 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-25 1 1 349,37 349,37 349,37 349,37 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-26 1 1 351,02 351,02 351,02 351,02 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-27 1 1 351,94 351,94 351,94 351,94 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-28 1 1 353,98 353,98 353,98 353,98 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-07-29 1 1 354,16 354,16 354,16 354,16 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-01 1 1 354,34 354,34 354,34 354,34 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-02 1 1 356,05 356,05 356,05 356,05 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-03 1 1 355,52 355,52 355,52 355,52 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-04 1 1 353,91 353,91 353,91 353,91 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-05 1 1 353,38 353,38 353,38 353,38 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-08 1 1 352,76 352,76 352,76 352,76 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-09 1 1 353,11 353,11 353,11 353,11 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-10 1 1 358,04 358,04 358,04 358,04 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-11 1 1 355,88 355,88 355,88 355,88 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-12 1 1 354,79 354,79 354,79 354,79 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-15 1 1 354,25 354,25 354,25 354,25 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-16 1 1 354,85 354,85 354,85 354,85 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-17 1 1 353,21 353,21 353,21 353,21 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-18 1 1 353,48 353,48 353,48 353,48 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-19 1 1 356,27 356,27 356,27 356,27 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-22 1 1 356,39 356,39 356,39 356,39 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-23 1 1 353,36 353,36 353,36 353,36 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-24 1 1 348,56 348,56 348,56 348,56 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-25 1 1 345,3 345,3 345,3 345,3 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-26 1 1 342,42 342,42 342,42 342,42 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-29 1 1 343,68 343,68 343,68 343,68 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-30 1 1 345,62 345,62 345,62 345,62 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-08-31 1 1 346,91 346,91 346,91 346,91 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-01 1 1 350,01 350,01 350,01 350,01 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-02 1 1 349,62 349,62 349,62 349,62 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-05 1 1 352,13 352,13 352,13 352,13 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-06 1 1 354,36 354,36 354,36 354,36 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-07 1 1 355,63 355,63 355,63 355,63 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-08 1 1 354,16 354,16 354,16 354,16 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-09 1 1 356,67 356,67 356,67 356,67 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-12 1 1 357,93 357,93 357,93 357,93 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-13 1 1 356,59 356,59 356,59 356,59 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-14 1 1 358,68 358,68 358,68 358,68 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-15 1 1 357,46 357,46 357,46 357,46 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-16 1 1 357,63 357,63 357,63 357,63 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-19 1 1 359,43 359,43 359,43 359,43 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-20 1 1 358,45 358,45 358,45 358,45 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-21 1 1 356,61 356,61 356,61 356,61 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-22 1 1 355,75 355,75 355,75 355,75 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-23 1 1 356,74 356,74 356,74 356,74 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-26 1 1 361,09 361,09 361,09 361,09 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-27 1 1 362,38 362,38 362,38 362,38 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-28 1 1 364,82 364,82 364,82 364,82 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-29 1 1 364,76 364,76 364,76 364,76 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-09-30 1 1 368,08 368,08 368,08 368,08 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-03 1 1 370,21 370,21 370,21 370,21 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-04 1 1 370,03 370,03 370,03 370,03 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-05 1 1 367,54 367,54 367,54 367,54 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-06 1 1 363,66 363,66 363,66 363,66 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-07 1 1 363,18 363,18 363,18 363,18 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-10 1 1 364,8 364,8 364,8 364,8 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-11 1 1 365,49 365,49 365,49 365,49 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-12 1 1 362,53 362,53 362,53 362,53 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-13 1 1 357,72 357,72 357,72 357,72 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-14 1 1 357,79 357,79 357,79 357,79 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-17 1 1 357,64 357,64 357,64 357,64 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-18 1 1 355,81 355,81 355,81 355,81 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-19 1 1 350,37 350,37 350,37 350,37 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-20 1 1 352,58 352,58 352,58 352,58 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-21 1 1 348,72 348,72 348,72 348,72 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-24 1 1 353,28 353,28 353,28 353,28 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-25 1 1 356,52 356,52 356,52 356,52 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-26 1 1 357,85 357,85 357,85 357,85 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-27 1 1 354,94 354,94 354,94 354,94 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-28 1 1 353,26 353,26 353,26 353,26 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-10-31 1 1 361,84 361,84 361,84 361,84 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-01 1 1 363,32 363,32 363,32 363,32 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-02 1 1 363,79 363,79 363,79 363,79 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-03 1 1 368,68 368,68 368,68 368,68 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-04 1 1 368,19 368,19 368,19 368,19 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-07 1 1 369,86 369,86 369,86 369,86 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-08 1 1 369,45 369,45 369,45 369,45 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-09 1 1 369,51 369,51 369,51 369,51 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-10 1 1 371,04 371,04 371,04 371,04 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-11 1 1 374,2 374,2 374,2 374,2 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-14 1 1 375,87 375,87 375,87 375,87 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-15 1 1 373,78 373,78 373,78 373,78 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-16 1 1 373,97 373,97 373,97 373,97 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-17 1 1 375,86 375,86 375,86 375,86 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-18 1 1 376,98 376,98 376,98 376,98 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-21 1 1 377,25 377,25 377,25 377,25 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-22 1 1 378,19 378,19 378,19 378,19 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-23 1 1 378,32 378,32 378,32 378,32 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-24 1 1 376,99 376,99 376,99 376,99 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-25 1 1 378,21 378,21 378,21 378,21 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-28 1 1 378,84 378,84 378,84 378,84 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-29 1 1 379,15 379,15 379,15 379,15 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-11-30 1 1 375,82 375,82 375,82 375,82 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-01 1 1 380,01 380,01 380,01 380,01 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-02 1 1 383,63 383,63 383,63 383,63 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-05 1 1 383,64 383,64 383,64 383,64 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-06 1 1 385,24 385,24 385,24 385,24 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-07 1 1 385,24 385,24 385,24 385,24 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-08 1 1 385,48 385,48 385,48 385,48 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-12 1 1 386,53 386,53 386,53 386,53 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-13 1 1 385,99 385,99 385,99 385,99 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-14 1 1 385,03 385,03 385,03 385,03 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-15 1 1 384,91 384,91 384,91 384,91 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-16 1 1 385,87 385,87 385,87 385,87 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-19 1 1 387,18 387,18 387,18 387,18 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-20 1 1 386,82 386,82 386,82 386,82 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-21 1 1 389,76 389,76 389,76 389,76 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-22 1 1 390,96 390,96 390,96 390,96 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-23 1 1 394,68 394,68 394,68 394,68 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-27 1 1 396,83 396,83 396,83 396,83 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-28 1 1 396,24 396,24 396,24 396,24 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-29 1 1 397,74 397,74 397,74 397,74 721860 Folksam Fond AB (publ) Folksams Aktiefond Sverige SEK 2005-12-30 1 1 395,99 395,99 395,99 395,99 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-03 1 1 184,29 184,29 184,29 184,29 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-04 1 1 183,94 183,94 183,94 183,94 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-05 1 1 184,61 184,61 184,61 184,61 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-07 1 1 185,99 185,99 185,99 185,99 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-10 1 1 187,14 187,14 187,14 187,14 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-11 1 1 185,87 185,87 185,87 185,87 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-12 1 1 186,04 186,04 186,04 186,04 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-13 1 1 185,15 185,15 185,15 185,15 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-14 1 1 186,23 186,23 186,23 186,23 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-17 1 1 186,92 186,92 186,92 186,92 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-18 1 1 187,75 187,75 187,75 187,75 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-19 1 1 188,14 188,14 188,14 188,14 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-20 1 1 187,24 187,24 187,24 187,24 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-21 1 1 187,52 187,52 187,52 187,52 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-24 1 1 185,1 185,1 185,1 185,1 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-25 1 1 185,96 185,96 185,96 185,96 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-26 1 1 187,09 187,09 187,09 187,09 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-27 1 1 185,43 185,43 185,43 185,43 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-28 1 1 187,24 187,24 187,24 187,24 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-01-31 1 1 188,43 188,43 188,43 188,43 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-01 1 1 188,89 188,89 188,89 188,89 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-02 1 1 189,03 189,03 189,03 189,03 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-03 1 1 189,63 189,63 189,63 189,63 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-04 1 1 191,49 191,49 191,49 191,49 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-07 1 1 194,3 194,3 194,3 194,3 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-08 1 1 195,61 195,61 195,61 195,61 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-09 1 1 195,12 195,12 195,12 195,12 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-10 1 1 193,72 193,72 193,72 193,72 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-11 1 1 193,41 193,41 193,41 193,41 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-14 1 1 193,84 193,84 193,84 193,84 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-15 1 1 193,58 193,58 193,58 193,58 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-16 1 1 192,71 192,71 192,71 192,71 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-17 1 1 193,4 193,4 193,4 193,4 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-18 1 1 192 192 192 192 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-21 1 1 192,59 192,59 192,59 192,59 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-22 1 1 190 190 190 190 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-23 1 1 188,11 188,11 188,11 188,11 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-24 1 1 187,47 187,47 187,47 187,47 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-25 1 1 190,33 190,33 190,33 190,33 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-02-28 1 1 190,25 190,25 190,25 190,25 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-01 1 1 190,89 190,89 190,89 190,89 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-02 1 1 191,21 191,21 191,21 191,21 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-03 1 1 192,91 192,91 192,91 192,91 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-04 1 1 193,5 193,5 193,5 193,5 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-07 1 1 193,18 193,18 193,18 193,18 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-08 1 1 192,36 192,36 192,36 192,36 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-09 1 1 189,3 189,3 189,3 189,3 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-10 1 1 187,96 187,96 187,96 187,96 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-11 1 1 185,2 185,2 185,2 185,2 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-14 1 1 183,54 183,54 183,54 183,54 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-15 1 1 186,28 186,28 186,28 186,28 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-16 1 1 183,61 183,61 183,61 183,61 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-17 1 1 182,15 182,15 182,15 182,15 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-18 1 1 183,46 183,46 183,46 183,46 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-21 1 1 185,57 185,57 185,57 185,57 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-22 1 1 185,87 185,87 185,87 185,87 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-23 1 1 184,32 184,32 184,32 184,32 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-24 1 1 186,69 186,69 186,69 186,69 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-29 1 1 187,27 187,27 187,27 187,27 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-30 1 1 186,78 186,78 186,78 186,78 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-03-31 1 1 189,52 189,52 189,52 189,52 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-01 1 1 190,53 190,53 190,53 190,53 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-04 1 1 188,83 188,83 188,83 188,83 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-05 1 1 191,93 191,93 191,93 191,93 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-06 1 1 191,48 191,48 191,48 191,48 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-07 1 1 190,36 190,36 190,36 190,36 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-08 1 1 193,35 193,35 193,35 193,35 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-11 1 1 190,06 190,06 190,06 190,06 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-12 1 1 187,84 187,84 187,84 187,84 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-13 1 1 190,24 190,24 190,24 190,24 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-14 1 1 189,66 189,66 189,66 189,66 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-15 1 1 188,96 188,96 188,96 188,96 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-18 1 1 183,8 183,8 183,8 183,8 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-19 1 1 184,76 184,76 184,76 184,76 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-20 1 1 183,88 183,88 183,88 183,88 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-21 1 1 183 183 183 183 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-22 1 1 184,09 184,09 184,09 184,09 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-25 1 1 184,9 184,9 184,9 184,9 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-26 1 1 184,91 184,91 184,91 184,91 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-27 1 1 184,2 184,2 184,2 184,2 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-28 1 1 184,59 184,59 184,59 184,59 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-04-29 1 1 184,22 184,22 184,22 184,22 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-02 1 1 188,36 188,36 188,36 188,36 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-03 1 1 188,95 188,95 188,95 188,95 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-04 1 1 187,39 187,39 187,39 187,39 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-06 1 1 188,82 188,82 188,82 188,82 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-09 1 1 190,21 190,21 190,21 190,21 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-10 1 1 190,33 190,33 190,33 190,33 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-11 1 1 188,87 188,87 188,87 188,87 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-12 1 1 192 192 192 192 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-13 1 1 190,73 190,73 190,73 190,73 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-16 1 1 192,15 192,15 192,15 192,15 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-17 1 1 193,18 193,18 193,18 193,18 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-18 1 1 195,33 195,33 195,33 195,33 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-19 1 1 195,57 195,57 195,57 195,57 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-20 1 1 196,27 196,27 196,27 196,27 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-23 1 1 198,19 198,19 198,19 198,19 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-24 1 1 197,63 197,63 197,63 197,63 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-25 1 1 197,31 197,31 197,31 197,31 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-26 1 1 198,83 198,83 198,83 198,83 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-27 1 1 199,56 199,56 199,56 199,56 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-30 1 1 199,87 199,87 199,87 199,87 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-05-31 1 1 200,79 200,79 200,79 200,79 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-01 1 1 201,59 201,59 201,59 201,59 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-02 1 1 203,98 203,98 203,98 203,98 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-03 1 1 203,67 203,67 203,67 203,67 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-07 1 1 204,27 204,27 204,27 204,27 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-08 1 1 203,05 203,05 203,05 203,05 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-09 1 1 203,99 203,99 203,99 203,99 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-10 1 1 205,35 205,35 205,35 205,35 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-13 1 1 207,7 207,7 207,7 207,7 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-14 1 1 209,62 209,62 209,62 209,62 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-15 1 1 210,94 210,94 210,94 210,94 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-16 1 1 210,77 210,77 210,77 210,77 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-17 1 1 211,53 211,53 211,53 211,53 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-20 1 1 208,25 208,25 208,25 208,25 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-21 1 1 211,14 211,14 211,14 211,14 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-22 1 1 210,91 210,91 210,91 210,91 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-23 1 1 213,73 213,73 213,73 213,73 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-27 1 1 209,92 209,92 209,92 209,92 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-28 1 1 211,79 211,79 211,79 211,79 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-29 1 1 214,4 214,4 214,4 214,4 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-06-30 1 1 214,16 214,16 214,16 214,16 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-01 1 1 213,62 213,62 213,62 213,62 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-04 1 1 216,15 216,15 216,15 216,15 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-05 1 1 216,56 216,56 216,56 216,56 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-06 1 1 217,14 217,14 217,14 217,14 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-07 1 1 213,59 213,59 213,59 213,59 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-08 1 1 216,75 216,75 216,75 216,75 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-11 1 1 218,73 218,73 218,73 218,73 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-12 1 1 216,33 216,33 216,33 216,33 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-13 1 1 215 215 215 215 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-14 1 1 217,25 217,25 217,25 217,25 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-15 1 1 216,09 216,09 216,09 216,09 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-18 1 1 216,57 216,57 216,57 216,57 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-19 1 1 219,41 219,41 219,41 219,41 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-20 1 1 218,44 218,44 218,44 218,44 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-21 1 1 218,3 218,3 218,3 218,3 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-22 1 1 217,62 217,62 217,62 217,62 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-25 1 1 220,64 220,64 220,64 220,64 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-26 1 1 219,22 219,22 219,22 219,22 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-27 1 1 221,9 221,9 221,9 221,9 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-28 1 1 221,7 221,7 221,7 221,7 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-07-29 1 1 220,16 220,16 220,16 220,16 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-01 1 1 218,52 218,52 218,52 218,52 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-02 1 1 218,3 218,3 218,3 218,3 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-03 1 1 218,61 218,61 218,61 218,61 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-04 1 1 216,3 216,3 216,3 216,3 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-05 1 1 213,32 213,32 213,32 213,32 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-08 1 1 213,42 213,42 213,42 213,42 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-09 1 1 212,61 212,61 212,61 212,61 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-10 1 1 214,83 214,83 214,83 214,83 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-11 1 1 212,88 212,88 212,88 212,88 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-12 1 1 211,09 211,09 211,09 211,09 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-15 1 1 211,94 211,94 211,94 211,94 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-16 1 1 212,63 212,63 212,63 212,63 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-17 1 1 212,76 212,76 212,76 212,76 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-18 1 1 212,57 212,57 212,57 212,57 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-19 1 1 215,44 215,44 215,44 215,44 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-22 1 1 216,09 216,09 216,09 216,09 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-23 1 1 213,91 213,91 213,91 213,91 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-24 1 1 213,56 213,56 213,56 213,56 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-25 1 1 210,27 210,27 210,27 210,27 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-26 1 1 209,63 209,63 209,63 209,63 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-29 1 1 209 209 209 209 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-30 1 1 211,23 211,23 211,23 211,23 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-08-31 1 1 212,5 212,5 212,5 212,5 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-01 1 1 212,31 212,31 212,31 212,31 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-02 1 1 209,1 209,1 209,1 209,1 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-05 1 1 207,76 207,76 207,76 207,76 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-06 1 1 210,93 210,93 210,93 210,93 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-07 1 1 210,65 210,65 210,65 210,65 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-08 1 1 212,79 212,79 212,79 212,79 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-09 1 1 213,88 213,88 213,88 213,88 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-12 1 1 216,05 216,05 216,05 216,05 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-13 1 1 215,47 215,47 215,47 215,47 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-14 1 1 215,9 215,9 215,9 215,9 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-15 1 1 216,87 216,87 216,87 216,87 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-16 1 1 215,82 215,82 215,82 215,82 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-19 1 1 218,84 218,84 218,84 218,84 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-20 1 1 218,63 218,63 218,63 218,63 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-21 1 1 214,88 214,88 214,88 214,88 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-22 1 1 213,02 213,02 213,02 213,02 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-23 1 1 215,46 215,46 215,46 215,46 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-26 1 1 218,92 218,92 218,92 218,92 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-27 1 1 219,47 219,47 219,47 219,47 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-28 1 1 219,58 219,58 219,58 219,58 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-29 1 1 218,23 218,23 218,23 218,23 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-09-30 1 1 220,54 220,54 220,54 220,54 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-03 1 1 221,94 221,94 221,94 221,94 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-04 1 1 221,28 221,28 221,28 221,28 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-05 1 1 218,74 218,74 218,74 218,74 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-06 1 1 213,21 213,21 213,21 213,21 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-07 1 1 212,2 212,2 212,2 212,2 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-10 1 1 211,9 211,9 211,9 211,9 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-11 1 1 213,76 213,76 213,76 213,76 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-12 1 1 213,94 213,94 213,94 213,94 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-13 1 1 211,55 211,55 211,55 211,55 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-14 1 1 212,9 212,9 212,9 212,9 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-17 1 1 214,37 214,37 214,37 214,37 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-18 1 1 215,81 215,81 215,81 215,81 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-19 1 1 214,73 214,73 214,73 214,73 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-20 1 1 218,28 218,28 218,28 218,28 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-21 1 1 214,75 214,75 214,75 214,75 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-24 1 1 218,62 218,62 218,62 218,62 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-25 1 1 220,68 220,68 220,68 220,68 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-26 1 1 217,23 217,23 217,23 217,23 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-27 1 1 215,33 215,33 215,33 215,33 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-28 1 1 213,24 213,24 213,24 213,24 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-10-31 1 1 219,42 219,42 219,42 219,42 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-01 1 1 220,08 220,08 220,08 220,08 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-02 1 1 221,53 221,53 221,53 221,53 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-03 1 1 225,17 225,17 225,17 225,17 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-04 1 1 225,47 225,47 225,47 225,47 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-07 1 1 227,73 227,73 227,73 227,73 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-08 1 1 228,98 228,98 228,98 228,98 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-09 1 1 227,41 227,41 227,41 227,41 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-10 1 1 228,98 228,98 228,98 228,98 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-11 1 1 233,16 233,16 233,16 233,16 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-14 1 1 230,83 230,83 230,83 230,83 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-15 1 1 231,52 231,52 231,52 231,52 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-16 1 1 232 232 232 232 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-17 1 1 234,75 234,75 234,75 234,75 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-18 1 1 236,1 236,1 236,1 236,1 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-21 1 1 233,15 233,15 233,15 233,15 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-22 1 1 234,75 234,75 234,75 234,75 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-23 1 1 233,61 233,61 233,61 233,61 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-24 1 1 234,55 234,55 234,55 234,55 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-25 1 1 235,76 235,76 235,76 235,76 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-28 1 1 235,76 235,76 235,76 235,76 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-29 1 1 233,6 233,6 233,6 233,6 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-11-30 1 1 234,35 234,35 234,35 234,35 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-01 1 1 234,96 234,96 234,96 234,96 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-02 1 1 236,3 236,3 236,3 236,3 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-05 1 1 234,57 234,57 234,57 234,57 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-06 1 1 233,39 233,39 233,39 233,39 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-07 1 1 234,04 234,04 234,04 234,04 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-08 1 1 231,82 231,82 231,82 231,82 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-12 1 1 231,85 231,85 231,85 231,85 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-13 1 1 229,96 229,96 229,96 229,96 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-14 1 1 229,98 229,98 229,98 229,98 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-15 1 1 230,76 230,76 230,76 230,76 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-16 1 1 231,72 231,72 231,72 231,72 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-19 1 1 229,92 229,92 229,92 229,92 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-20 1 1 227,32 227,32 227,32 227,32 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-21 1 1 231,77 231,77 231,77 231,77 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-22 1 1 232,67 232,67 232,67 232,67 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-23 1 1 232,76 232,76 232,76 232,76 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-27 1 1 234,72 234,72 234,72 234,72 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-28 1 1 229,87 229,87 229,87 229,87 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-29 1 1 230,6 230,6 230,6 230,6 650200 Folksam Fond AB (publ) Folksams Aktiefond USA SEK 2005-12-30 1 1 228,99 228,99 228,99 228,99 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-03 1 1 19,97 19,97 19,97 19,97 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-04 1 1 19,96 19,96 19,96 19,96 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-05 1 1 19,86 19,86 19,86 19,86 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-07 1 1 19,82 19,82 19,82 19,82 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-10 1 1 19,84 19,84 19,84 19,84 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-11 1 1 19,86 19,86 19,86 19,86 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-12 1 1 19,84 19,84 19,84 19,84 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-13 1 1 19,88 19,88 19,88 19,88 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-14 1 1 20,02 20,02 20,02 20,02 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-17 1 1 20,14 20,14 20,14 20,14 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-18 1 1 20,18 20,18 20,18 20,18 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-19 1 1 20,19 20,19 20,19 20,19 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-20 1 1 20,05 20,05 20,05 20,05 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-21 1 1 20,09 20,09 20,09 20,09 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-24 1 1 19,99 19,99 19,99 19,99 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-25 1 1 20,08 20,08 20,08 20,08 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-26 1 1 20,18 20,18 20,18 20,18 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-27 1 1 20,11 20,11 20,11 20,11 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-28 1 1 20,28 20,28 20,28 20,28 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-01-31 1 1 20,38 20,38 20,38 20,38 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-01 1 1 20,44 20,44 20,44 20,44 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-02 1 1 20,45 20,45 20,45 20,45 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-03 1 1 20,54 20,54 20,54 20,54 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-04 1 1 20,68 20,68 20,68 20,68 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-07 1 1 20,95 20,95 20,95 20,95 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-08 1 1 20,99 20,99 20,99 20,99 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-09 1 1 20,94 20,94 20,94 20,94 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-10 1 1 20,83 20,83 20,83 20,83 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-11 1 1 20,84 20,84 20,84 20,84 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-14 1 1 21,05 21,05 21,05 21,05 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-15 1 1 21,01 21,01 21,01 21,01 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-16 1 1 20,85 20,85 20,85 20,85 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-17 1 1 21,02 21,02 21,02 21,02 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-18 1 1 20,93 20,93 20,93 20,93 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-21 1 1 20,96 20,96 20,96 20,96 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-22 1 1 20,75 20,75 20,75 20,75 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-23 1 1 20,61 20,61 20,61 20,61 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-24 1 1 20,6 20,6 20,6 20,6 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-25 1 1 20,8 20,8 20,8 20,8 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-02-28 1 1 20,68 20,68 20,68 20,68 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-01 1 1 20,73 20,73 20,73 20,73 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-02 1 1 20,71 20,71 20,71 20,71 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-03 1 1 20,9 20,9 20,9 20,9 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-04 1 1 20,91 20,91 20,91 20,91 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-07 1 1 20,92 20,92 20,92 20,92 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-08 1 1 20,87 20,87 20,87 20,87 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-09 1 1 20,65 20,65 20,65 20,65 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-10 1 1 20,54 20,54 20,54 20,54 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-11 1 1 20,34 20,34 20,34 20,34 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-14 1 1 20,19 20,19 20,19 20,19 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-15 1 1 20,4 20,4 20,4 20,4 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-16 1 1 20,32 20,32 20,32 20,32 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-17 1 1 20,27 20,27 20,27 20,27 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-18 1 1 20,38 20,38 20,38 20,38 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-21 1 1 20,56 20,56 20,56 20,56 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-22 1 1 20,52 20,52 20,52 20,52 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-23 1 1 20,37 20,37 20,37 20,37 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-24 1 1 20,46 20,46 20,46 20,46 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-29 1 1 20,46 20,46 20,46 20,46 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-30 1 1 20,34 20,34 20,34 20,34 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-03-31 1 1 20,57 20,57 20,57 20,57 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-01 1 1 20,79 20,79 20,79 20,79 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-04 1 1 20,74 20,74 20,74 20,74 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-05 1 1 20,86 20,86 20,86 20,86 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-06 1 1 20,84 20,84 20,84 20,84 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-07 1 1 20,79 20,79 20,79 20,79 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-08 1 1 21 21 21 21 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-11 1 1 20,76 20,76 20,76 20,76 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-12 1 1 20,63 20,63 20,63 20,63 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-13 1 1 20,79 20,79 20,79 20,79 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-14 1 1 20,72 20,72 20,72 20,72 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-15 1 1 20,44 20,44 20,44 20,44 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-18 1 1 19,82 19,82 19,82 19,82 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-19 1 1 20,1 20,1 20,1 20,1 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-20 1 1 20,06 20,06 20,06 20,06 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-21 1 1 20,06 20,06 20,06 20,06 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-22 1 1 20,16 20,16 20,16 20,16 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-25 1 1 20,24 20,24 20,24 20,24 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-26 1 1 20,13 20,13 20,13 20,13 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-27 1 1 19,89 19,89 19,89 19,89 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-28 1 1 19,77 19,77 19,77 19,77 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-04-29 1 1 19,78 19,78 19,78 19,78 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-02 1 1 20,09 20,09 20,09 20,09 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-03 1 1 20,17 20,17 20,17 20,17 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-04 1 1 20,02 20,02 20,02 20,02 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-06 1 1 20,25 20,25 20,25 20,25 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-09 1 1 20,38 20,38 20,38 20,38 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-10 1 1 20,33 20,33 20,33 20,33 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-11 1 1 20,22 20,22 20,22 20,22 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-12 1 1 20,41 20,41 20,41 20,41 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-13 1 1 20,26 20,26 20,26 20,26 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-16 1 1 20,26 20,26 20,26 20,26 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-17 1 1 20,35 20,35 20,35 20,35 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-18 1 1 20,48 20,48 20,48 20,48 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-19 1 1 20,66 20,66 20,66 20,66 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-20 1 1 20,73 20,73 20,73 20,73 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-23 1 1 20,82 20,82 20,82 20,82 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-24 1 1 20,85 20,85 20,85 20,85 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-25 1 1 20,79 20,79 20,79 20,79 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-26 1 1 20,98 20,98 20,98 20,98 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-27 1 1 21,08 21,08 21,08 21,08 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-30 1 1 21,16 21,16 21,16 21,16 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-05-31 1 1 21,21 21,21 21,21 21,21 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-01 1 1 21,33 21,33 21,33 21,33 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-02 1 1 21,48 21,48 21,48 21,48 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-03 1 1 21,47 21,47 21,47 21,47 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-07 1 1 21,57 21,57 21,57 21,57 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-08 1 1 21,51 21,51 21,51 21,51 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-09 1 1 21,62 21,62 21,62 21,62 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-10 1 1 21,84 21,84 21,84 21,84 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-13 1 1 22,03 22,03 22,03 22,03 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-14 1 1 22,24 22,24 22,24 22,24 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-15 1 1 22,37 22,37 22,37 22,37 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-16 1 1 22,47 22,47 22,47 22,47 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-17 1 1 22,58 22,58 22,58 22,58 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-20 1 1 22,37 22,37 22,37 22,37 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-21 1 1 22,55 22,55 22,55 22,55 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-22 1 1 22,58 22,58 22,58 22,58 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-23 1 1 22,94 22,94 22,94 22,94 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-27 1 1 22,68 22,68 22,68 22,68 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-28 1 1 22,82 22,82 22,82 22,82 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-29 1 1 23,08 23,08 23,08 23,08 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-06-30 1 1 23,13 23,13 23,13 23,13 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-01 1 1 23,12 23,12 23,12 23,12 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-04 1 1 23,4 23,4 23,4 23,4 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-05 1 1 23,42 23,42 23,42 23,42 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-06 1 1 23,5 23,5 23,5 23,5 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-07 1 1 23,17 23,17 23,17 23,17 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-08 1 1 23,47 23,47 23,47 23,47 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-11 1 1 23,67 23,67 23,67 23,67 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-12 1 1 23,58 23,58 23,58 23,58 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-13 1 1 23,49 23,49 23,49 23,49 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-14 1 1 23,6 23,6 23,6 23,6 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-15 1 1 23,5 23,5 23,5 23,5 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-18 1 1 23,48 23,48 23,48 23,48 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-19 1 1 23,76 23,76 23,76 23,76 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-20 1 1 23,75 23,75 23,75 23,75 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-21 1 1 23,83 23,83 23,83 23,83 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-22 1 1 23,89 23,89 23,89 23,89 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-25 1 1 24,13 24,13 24,13 24,13 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-26 1 1 24,04 24,04 24,04 24,04 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-27 1 1 24,29 24,29 24,29 24,29 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-28 1 1 24,24 24,24 24,24 24,24 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-07-29 1 1 24,13 24,13 24,13 24,13 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-01 1 1 24,13 24,13 24,13 24,13 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-02 1 1 24,21 24,21 24,21 24,21 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-03 1 1 24,21 24,21 24,21 24,21 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-04 1 1 24,04 24,04 24,04 24,04 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-05 1 1 23,72 23,72 23,72 23,72 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-08 1 1 23,75 23,75 23,75 23,75 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-09 1 1 23,73 23,73 23,73 23,73 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-10 1 1 23,92 23,92 23,92 23,92 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-11 1 1 23,9 23,9 23,9 23,9 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-12 1 1 23,7 23,7 23,7 23,7 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-15 1 1 23,79 23,79 23,79 23,79 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-16 1 1 23,86 23,86 23,86 23,86 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-17 1 1 23,84 23,84 23,84 23,84 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-18 1 1 23,74 23,74 23,74 23,74 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-19 1 1 23,99 23,99 23,99 23,99 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-22 1 1 24,15 24,15 24,15 24,15 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-23 1 1 24,02 24,02 24,02 24,02 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-24 1 1 23,91 23,91 23,91 23,91 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-25 1 1 23,7 23,7 23,7 23,7 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-26 1 1 23,74 23,74 23,74 23,74 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-29 1 1 23,66 23,66 23,66 23,66 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-30 1 1 23,88 23,88 23,88 23,88 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-08-31 1 1 24,1 24,1 24,1 24,1 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-01 1 1 24,23 24,23 24,23 24,23 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-02 1 1 23,93 23,93 23,93 23,93 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-05 1 1 23,89 23,89 23,89 23,89 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-06 1 1 24,06 24,06 24,06 24,06 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-07 1 1 24,13 24,13 24,13 24,13 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-08 1 1 24,35 24,35 24,35 24,35 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-09 1 1 24,5 24,5 24,5 24,5 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-12 1 1 24,77 24,77 24,77 24,77 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-13 1 1 24,66 24,66 24,66 24,66 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-14 1 1 24,71 24,71 24,71 24,71 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-15 1 1 24,93 24,93 24,93 24,93 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-16 1 1 24,82 24,82 24,82 24,82 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-19 1 1 25,12 25,12 25,12 25,12 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-20 1 1 25,22 25,22 25,22 25,22 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-21 1 1 25 25 25 25 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-22 1 1 24,88 24,88 24,88 24,88 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-23 1 1 24,79 24,79 24,79 24,79 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-26 1 1 25,23 25,23 25,23 25,23 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-27 1 1 25,4 25,4 25,4 25,4 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-28 1 1 25,52 25,52 25,52 25,52 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-29 1 1 25,58 25,58 25,58 25,58 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-09-30 1 1 25,69 25,69 25,69 25,69 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-03 1 1 25,86 25,86 25,86 25,86 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-04 1 1 25,92 25,92 25,92 25,92 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-05 1 1 25,75 25,75 25,75 25,75 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-06 1 1 24,93 24,93 24,93 24,93 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-07 1 1 24,97 24,97 24,97 24,97 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-10 1 1 24,93 24,93 24,93 24,93 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-11 1 1 25,14 25,14 25,14 25,14 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-12 1 1 25,12 25,12 25,12 25,12 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-13 1 1 24,68 24,68 24,68 24,68 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-14 1 1 24,53 24,53 24,53 24,53 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-17 1 1 24,7 24,7 24,7 24,7 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-18 1 1 24,6 24,6 24,6 24,6 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-19 1 1 24,02 24,02 24,02 24,02 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-20 1 1 24,47 24,47 24,47 24,47 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-21 1 1 24,62 24,62 24,62 24,62 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-24 1 1 25,08 25,08 25,08 25,08 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-25 1 1 25,41 25,41 25,41 25,41 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-26 1 1 25,23 25,23 25,23 25,23 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-27 1 1 25,04 25,04 25,04 25,04 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-28 1 1 24,71 24,71 24,71 24,71 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-10-31 1 1 25,36 25,36 25,36 25,36 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-01 1 1 25,51 25,51 25,51 25,51 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-02 1 1 25,62 25,62 25,62 25,62 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-03 1 1 26,09 26,09 26,09 26,09 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-04 1 1 26,1 26,1 26,1 26,1 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-07 1 1 26,2 26,2 26,2 26,2 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-08 1 1 26,15 26,15 26,15 26,15 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-09 1 1 26,03 26,03 26,03 26,03 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-10 1 1 26,15 26,15 26,15 26,15 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-11 1 1 26,47 26,47 26,47 26,47 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-14 1 1 26,33 26,33 26,33 26,33 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-15 1 1 26,28 26,28 26,28 26,28 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-16 1 1 26,32 26,32 26,32 26,32 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-17 1 1 26,77 26,77 26,77 26,77 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-18 1 1 26,91 26,91 26,91 26,91 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-21 1 1 26,74 26,74 26,74 26,74 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-22 1 1 26,98 26,98 26,98 26,98 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-23 1 1 26,84 26,84 26,84 26,84 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-24 1 1 26,87 26,87 26,87 26,87 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-25 1 1 27 27 27 27 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-28 1 1 26,88 26,88 26,88 26,88 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-29 1 1 26,71 26,71 26,71 26,71 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-11-30 1 1 26,86 26,86 26,86 26,86 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-01 1 1 27,15 27,15 27,15 27,15 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-02 1 1 27,36 27,36 27,36 27,36 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-05 1 1 27,24 27,24 27,24 27,24 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-06 1 1 27,08 27,08 27,08 27,08 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-07 1 1 27,31 27,31 27,31 27,31 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-08 1 1 27,1 27,1 27,1 27,1 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-12 1 1 27,36 27,36 27,36 27,36 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-13 1 1 27,32 27,32 27,32 27,32 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-14 1 1 27,15 27,15 27,15 27,15 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-15 1 1 27,15 27,15 27,15 27,15 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-16 1 1 27,3 27,3 27,3 27,3 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-19 1 1 27,12 27,12 27,12 27,12 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-20 1 1 26,94 26,94 26,94 26,94 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-21 1 1 27,52 27,52 27,52 27,52 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-22 1 1 27,67 27,67 27,67 27,67 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-23 1 1 27,68 27,68 27,68 27,68 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-27 1 1 27,87 27,87 27,87 27,87 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-28 1 1 27,55 27,55 27,55 27,55 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-29 1 1 27,68 27,68 27,68 27,68 435222 Folksam Fond AB (publ) Folksams Framtidsfond SEK 2005-12-30 1 1 27,62 27,62 27,62 27,62 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-03 1 1 189,12 189,12 189,12 189,12 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-04 1 1 189,52 189,52 189,52 189,52 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-05 1 1 188,89 188,89 188,89 188,89 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-07 1 1 189,73 189,73 189,73 189,73 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-10 1 1 190,87 190,87 190,87 190,87 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-11 1 1 190,16 190,16 190,16 190,16 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-12 1 1 188,99 188,99 188,99 188,99 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-13 1 1 188,94 188,94 188,94 188,94 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-14 1 1 189,53 189,53 189,53 189,53 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-17 1 1 190,44 190,44 190,44 190,44 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-18 1 1 189,97 189,97 189,97 189,97 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-19 1 1 190,63 190,63 190,63 190,63 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-20 1 1 189,46 189,46 189,46 189,46 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-21 1 1 189,49 189,49 189,49 189,49 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-24 1 1 188,34 188,34 188,34 188,34 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-25 1 1 189,53 189,53 189,53 189,53 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-26 1 1 189,97 189,97 189,97 189,97 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-27 1 1 189,65 189,65 189,65 189,65 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-28 1 1 190,21 190,21 190,21 190,21 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-01-31 1 1 191,06 191,06 191,06 191,06 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-01 1 1 191,34 191,34 191,34 191,34 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-02 1 1 192,05 192,05 192,05 192,05 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-03 1 1 191,99 191,99 191,99 191,99 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-04 1 1 193,1 193,1 193,1 193,1 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-07 1 1 194,79 194,79 194,79 194,79 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-08 1 1 195,18 195,18 195,18 195,18 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-09 1 1 195,3 195,3 195,3 195,3 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-10 1 1 194,45 194,45 194,45 194,45 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-11 1 1 194,93 194,93 194,93 194,93 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-14 1 1 195,49 195,49 195,49 195,49 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-15 1 1 195,72 195,72 195,72 195,72 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-16 1 1 194,62 194,62 194,62 194,62 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-17 1 1 195,29 195,29 195,29 195,29 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-18 1 1 194,33 194,33 194,33 194,33 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-21 1 1 194,71 194,71 194,71 194,71 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-22 1 1 193,14 193,14 193,14 193,14 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-23 1 1 192,88 192,88 192,88 192,88 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-24 1 1 192,93 192,93 192,93 192,93 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-25 1 1 194,17 194,17 194,17 194,17 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-02-28 1 1 194,61 194,61 194,61 194,61 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-01 1 1 194,9 194,9 194,9 194,9 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-02 1 1 195 195 195 195 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-03 1 1 196,13 196,13 196,13 196,13 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-04 1 1 196,65 196,65 196,65 196,65 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-07 1 1 196,64 196,64 196,64 196,64 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-08 1 1 196,11 196,11 196,11 196,11 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-09 1 1 194,99 194,99 194,99 194,99 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-10 1 1 194,21 194,21 194,21 194,21 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-11 1 1 188,96 188,96 188,96 188,96 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-14 1 1 188,22 188,22 188,22 188,22 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-15 1 1 189,67 189,67 189,67 189,67 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-16 1 1 188,26 188,26 188,26 188,26 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-17 1 1 187,61 187,61 187,61 187,61 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-18 1 1 188,13 188,13 188,13 188,13 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-21 1 1 188,48 188,48 188,48 188,48 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-22 1 1 188,79 188,79 188,79 188,79 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-23 1 1 187,9 187,9 187,9 187,9 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-24 1 1 189,06 189,06 189,06 189,06 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-29 1 1 189,26 189,26 189,26 189,26 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-30 1 1 188,68 188,68 188,68 188,68 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-03-31 1 1 189,96 189,96 189,96 189,96 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-01 1 1 190,8 190,8 190,8 190,8 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-04 1 1 190,18 190,18 190,18 190,18 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-05 1 1 191,78 191,78 191,78 191,78 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-06 1 1 192,17 192,17 192,17 192,17 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-07 1 1 192,12 192,12 192,12 192,12 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-08 1 1 193,31 193,31 193,31 193,31 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-11 1 1 192,69 192,69 192,69 192,69 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-12 1 1 191,85 191,85 191,85 191,85 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-13 1 1 193,08 193,08 193,08 193,08 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-14 1 1 193,56 193,56 193,56 193,56 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-15 1 1 192,16 192,16 192,16 192,16 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-18 1 1 189,29 189,29 189,29 189,29 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-19 1 1 190,17 190,17 190,17 190,17 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-20 1 1 189,77 189,77 189,77 189,77 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-21 1 1 189,68 189,68 189,68 189,68 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-22 1 1 190,72 190,72 190,72 190,72 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-25 1 1 190,89 190,89 190,89 190,89 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-26 1 1 190,36 190,36 190,36 190,36 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-27 1 1 188,63 188,63 188,63 188,63 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-28 1 1 187,97 187,97 187,97 187,97 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-04-29 1 1 188,7 188,7 188,7 188,7 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-02 1 1 190,26 190,26 190,26 190,26 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-03 1 1 190,63 190,63 190,63 190,63 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-04 1 1 190,05 190,05 190,05 190,05 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-06 1 1 191,31 191,31 191,31 191,31 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-09 1 1 191,79 191,79 191,79 191,79 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-10 1 1 191,48 191,48 191,48 191,48 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-11 1 1 191,24 191,24 191,24 191,24 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-12 1 1 192,32 192,32 192,32 192,32 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-13 1 1 192,37 192,37 192,37 192,37 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-16 1 1 192,63 192,63 192,63 192,63 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-17 1 1 193,3 193,3 193,3 193,3 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-18 1 1 194,43 194,43 194,43 194,43 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-19 1 1 194,84 194,84 194,84 194,84 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-20 1 1 194,93 194,93 194,93 194,93 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-23 1 1 195,46 195,46 195,46 195,46 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-24 1 1 195,55 195,55 195,55 195,55 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-25 1 1 195,58 195,58 195,58 195,58 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-26 1 1 196,23 196,23 196,23 196,23 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-27 1 1 196,69 196,69 196,69 196,69 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-30 1 1 196,95 196,95 196,95 196,95 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-05-31 1 1 197,42 197,42 197,42 197,42 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-01 1 1 197,69 197,69 197,69 197,69 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-02 1 1 198,15 198,15 198,15 198,15 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-03 1 1 198,03 198,03 198,03 198,03 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-07 1 1 198,76 198,76 198,76 198,76 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-08 1 1 199,18 199,18 199,18 199,18 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-09 1 1 199,43 199,43 199,43 199,43 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-10 1 1 200,25 200,25 200,25 200,25 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-13 1 1 200,99 200,99 200,99 200,99 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-14 1 1 202,07 202,07 202,07 202,07 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-15 1 1 202,4 202,4 202,4 202,4 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-16 1 1 202,35 202,35 202,35 202,35 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-17 1 1 203,16 203,16 203,16 203,16 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-20 1 1 202,01 202,01 202,01 202,01 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-21 1 1 203,47 203,47 203,47 203,47 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-22 1 1 204,03 204,03 204,03 204,03 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-23 1 1 205,43 205,43 205,43 205,43 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-27 1 1 203,06 203,06 203,06 203,06 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-28 1 1 204,05 204,05 204,05 204,05 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-29 1 1 205,4 205,4 205,4 205,4 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-06-30 1 1 205,76 205,76 205,76 205,76 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-01 1 1 205,9 205,9 205,9 205,9 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-04 1 1 206,95 206,95 206,95 206,95 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-05 1 1 206,67 206,67 206,67 206,67 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-06 1 1 207,17 207,17 207,17 207,17 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-07 1 1 204,51 204,51 204,51 204,51 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-08 1 1 206,62 206,62 206,62 206,62 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-11 1 1 208,36 208,36 208,36 208,36 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-12 1 1 207,79 207,79 207,79 207,79 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-13 1 1 207,76 207,76 207,76 207,76 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-14 1 1 208,51 208,51 208,51 208,51 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-15 1 1 208,08 208,08 208,08 208,08 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-18 1 1 208,21 208,21 208,21 208,21 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-19 1 1 209,23 209,23 209,23 209,23 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-20 1 1 208,51 208,51 208,51 208,51 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-21 1 1 209,18 209,18 209,18 209,18 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-22 1 1 209,31 209,31 209,31 209,31 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-25 1 1 209,87 209,87 209,87 209,87 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-26 1 1 209,83 209,83 209,83 209,83 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-27 1 1 211,01 211,01 211,01 211,01 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-28 1 1 211,26 211,26 211,26 211,26 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-07-29 1 1 210,71 210,71 210,71 210,71 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-01 1 1 210,23 210,23 210,23 210,23 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-02 1 1 210,54 210,54 210,54 210,54 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-03 1 1 210,41 210,41 210,41 210,41 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-04 1 1 209,4 209,4 209,4 209,4 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-05 1 1 208,21 208,21 208,21 208,21 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-08 1 1 208,17 208,17 208,17 208,17 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-09 1 1 208,26 208,26 208,26 208,26 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-10 1 1 210,25 210,25 210,25 210,25 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-11 1 1 209,43 209,43 209,43 209,43 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-12 1 1 208,69 208,69 208,69 208,69 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-15 1 1 208,98 208,98 208,98 208,98 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-16 1 1 209,34 209,34 209,34 209,34 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-17 1 1 209,05 209,05 209,05 209,05 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-18 1 1 208,95 208,95 208,95 208,95 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-19 1 1 210,41 210,41 210,41 210,41 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-22 1 1 210,93 210,93 210,93 210,93 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-23 1 1 209,68 209,68 209,68 209,68 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-24 1 1 208,34 208,34 208,34 208,34 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-25 1 1 206,74 206,74 206,74 206,74 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-26 1 1 205,98 205,98 205,98 205,98 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-29 1 1 205,87 205,87 205,87 205,87 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-30 1 1 206,89 206,89 206,89 206,89 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-08-31 1 1 207,68 207,68 207,68 207,68 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-01 1 1 208,5 208,5 208,5 208,5 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-02 1 1 207,65 207,65 207,65 207,65 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-05 1 1 207,99 207,99 207,99 207,99 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-06 1 1 209,21 209,21 209,21 209,21 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-07 1 1 209,38 209,38 209,38 209,38 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-08 1 1 209,61 209,61 209,61 209,61 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-09 1 1 210,62 210,62 210,62 210,62 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-12 1 1 211,34 211,34 211,34 211,34 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-13 1 1 210,81 210,81 210,81 210,81 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-14 1 1 211,43 211,43 211,43 211,43 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-15 1 1 211,64 211,64 211,64 211,64 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-16 1 1 211,47 211,47 211,47 211,47 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-19 1 1 212,52 212,52 212,52 212,52 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-20 1 1 212,56 212,56 212,56 212,56 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-21 1 1 211,35 211,35 211,35 211,35 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-22 1 1 210,77 210,77 210,77 210,77 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-23 1 1 211,45 211,45 211,45 211,45 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-26 1 1 213,42 213,42 213,42 213,42 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-27 1 1 213,79 213,79 213,79 213,79 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-28 1 1 214,48 214,48 214,48 214,48 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-29 1 1 214,18 214,18 214,18 214,18 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-09-30 1 1 215,13 215,13 215,13 215,13 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-03 1 1 215,76 215,76 215,76 215,76 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-04 1 1 215,74 215,74 215,74 215,74 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-05 1 1 214,63 214,63 214,63 214,63 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-06 1 1 211,9 211,9 211,9 211,9 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-07 1 1 211,5 211,5 211,5 211,5 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-10 1 1 211,86 211,86 211,86 211,86 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-11 1 1 212,69 212,69 212,69 212,69 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-12 1 1 212,02 212,02 212,02 212,02 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-13 1 1 210,38 210,38 210,38 210,38 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-14 1 1 210,72 210,72 210,72 210,72 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-17 1 1 211,18 211,18 211,18 211,18 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-18 1 1 210,95 210,95 210,95 210,95 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-19 1 1 209,31 209,31 209,31 209,31 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-20 1 1 210,53 210,53 210,53 210,53 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-21 1 1 208,92 208,92 208,92 208,92 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-24 1 1 211,01 211,01 211,01 211,01 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-25 1 1 212,11 212,11 212,11 212,11 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-26 1 1 211,3 211,3 211,3 211,3 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-27 1 1 210,37 210,37 210,37 210,37 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-28 1 1 209,36 209,36 209,36 209,36 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-10-31 1 1 213,06 213,06 213,06 213,06 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-01 1 1 213,89 213,89 213,89 213,89 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-02 1 1 214,18 214,18 214,18 214,18 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-03 1 1 216,56 216,56 216,56 216,56 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-04 1 1 216,38 216,38 216,38 216,38 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-07 1 1 217,43 217,43 217,43 217,43 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-08 1 1 217,56 217,56 217,56 217,56 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-09 1 1 217,1 217,1 217,1 217,1 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-10 1 1 218 218 218 218 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-11 1 1 219,92 219,92 219,92 219,92 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-14 1 1 219,44 219,44 219,44 219,44 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-15 1 1 219,1 219,1 219,1 219,1 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-16 1 1 219,39 219,39 219,39 219,39 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-17 1 1 220,74 220,74 220,74 220,74 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-18 1 1 221,21 221,21 221,21 221,21 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-21 1 1 220,52 220,52 220,52 220,52 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-22 1 1 221,07 221,07 221,07 221,07 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-23 1 1 220,78 220,78 220,78 220,78 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-24 1 1 220,83 220,83 220,83 220,83 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-25 1 1 221,39 221,39 221,39 221,39 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-28 1 1 221,58 221,58 221,58 221,58 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-29 1 1 220,99 220,99 220,99 220,99 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-11-30 1 1 220,51 220,51 220,51 220,51 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-01 1 1 221,75 221,75 221,75 221,75 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-02 1 1 222,83 222,83 222,83 222,83 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-05 1 1 222,29 222,29 222,29 222,29 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-06 1 1 222,29 222,29 222,29 222,29 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-07 1 1 222,61 222,61 222,61 222,61 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-08 1 1 221,76 221,76 221,76 221,76 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-12 1 1 222,43 222,43 222,43 222,43 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-13 1 1 221,99 221,99 221,99 221,99 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-14 1 1 221,84 221,84 221,84 221,84 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-15 1 1 221,96 221,96 221,96 221,96 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-16 1 1 222,63 222,63 222,63 222,63 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-19 1 1 222,61 222,61 222,61 222,61 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-20 1 1 221,93 221,93 221,93 221,93 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-21 1 1 223,88 223,88 223,88 223,88 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-22 1 1 224,27 224,27 224,27 224,27 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-23 1 1 225,08 225,08 225,08 225,08 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-27 1 1 226,27 226,27 226,27 226,27 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-28 1 1 224,99 224,99 224,99 224,99 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-29 1 1 225,43 225,43 225,43 225,43 542712 Folksam Fond AB (publ) Folksams Förvaltningsfond SEK 2005-12-30 1 1 224,78 224,78 224,78 224,78 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-03 1 1 58,81 58,81 58,81 58,81 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-04 1 1 58,92 58,92 58,92 58,92 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-05 1 1 58,89 58,89 58,89 58,89 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-07 1 1 59,19 59,19 59,19 59,19 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-10 1 1 59,48 59,48 59,48 59,48 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-11 1 1 59,09 59,09 59,09 59,09 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-12 1 1 58,91 58,91 58,91 58,91 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-13 1 1 58,72 58,72 58,72 58,72 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-14 1 1 59,06 59,06 59,06 59,06 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-17 1 1 59,33 59,33 59,33 59,33 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-18 1 1 59,21 59,21 59,21 59,21 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-19 1 1 59,22 59,22 59,22 59,22 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-20 1 1 58,92 58,92 58,92 58,92 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-21 1 1 58,98 58,98 58,98 58,98 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-24 1 1 58,66 58,66 58,66 58,66 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-25 1 1 59,07 59,07 59,07 59,07 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-26 1 1 59,35 59,35 59,35 59,35 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-27 1 1 58,92 58,92 58,92 58,92 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-28 1 1 59,33 59,33 59,33 59,33 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-01-31 1 1 59,61 59,61 59,61 59,61 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-01 1 1 59,64 59,64 59,64 59,64 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-02 1 1 59,77 59,77 59,77 59,77 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-03 1 1 59,79 59,79 59,79 59,79 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-04 1 1 60,3 60,3 60,3 60,3 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-07 1 1 61,04 61,04 61,04 61,04 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-08 1 1 61,29 61,29 61,29 61,29 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-09 1 1 61,23 61,23 61,23 61,23 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-10 1 1 61,17 61,17 61,17 61,17 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-11 1 1 61,2 61,2 61,2 61,2 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-14 1 1 61,44 61,44 61,44 61,44 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-15 1 1 61,4 61,4 61,4 61,4 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-16 1 1 61,2 61,2 61,2 61,2 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-17 1 1 61,37 61,37 61,37 61,37 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-18 1 1 61,23 61,23 61,23 61,23 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-21 1 1 61,38 61,38 61,38 61,38 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-22 1 1 60,73 60,73 60,73 60,73 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-23 1 1 60,3 60,3 60,3 60,3 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-24 1 1 59,96 59,96 59,96 59,96 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-25 1 1 60,61 60,61 60,61 60,61 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-02-28 1 1 60,67 60,67 60,67 60,67 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-01 1 1 60,95 60,95 60,95 60,95 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-02 1 1 61,01 61,01 61,01 61,01 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-03 1 1 61,43 61,43 61,43 61,43 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-04 1 1 61,53 61,53 61,53 61,53 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-07 1 1 61,51 61,51 61,51 61,51 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-08 1 1 61,28 61,28 61,28 61,28 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-09 1 1 60,7 60,7 60,7 60,7 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-10 1 1 60,44 60,44 60,44 60,44 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-11 1 1 59,71 59,71 59,71 59,71 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-14 1 1 59,26 59,26 59,26 59,26 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-15 1 1 59,98 59,98 59,98 59,98 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-16 1 1 59,52 59,52 59,52 59,52 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-17 1 1 59,23 59,23 59,23 59,23 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-18 1 1 59,53 59,53 59,53 59,53 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-21 1 1 59,98 59,98 59,98 59,98 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-22 1 1 59,98 59,98 59,98 59,98 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-23 1 1 59,55 59,55 59,55 59,55 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-24 1 1 59,96 59,96 59,96 59,96 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-29 1 1 60,03 60,03 60,03 60,03 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-30 1 1 59,87 59,87 59,87 59,87 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-03-31 1 1 60,45 60,45 60,45 60,45 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-01 1 1 60,83 60,83 60,83 60,83 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-04 1 1 60,37 60,37 60,37 60,37 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-05 1 1 61,06 61,06 61,06 61,06 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-06 1 1 61,11 61,11 61,11 61,11 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-07 1 1 60,9 60,9 60,9 60,9 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-08 1 1 61,58 61,58 61,58 61,58 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-11 1 1 60,96 60,96 60,96 60,96 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-12 1 1 60,39 60,39 60,39 60,39 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-13 1 1 60,8 60,8 60,8 60,8 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-14 1 1 60,73 60,73 60,73 60,73 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-15 1 1 60,22 60,22 60,22 60,22 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-18 1 1 58,61 58,61 58,61 58,61 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-19 1 1 59,12 59,12 59,12 59,12 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-20 1 1 58,85 58,85 58,85 58,85 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-21 1 1 58,78 58,78 58,78 58,78 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-22 1 1 58,9 58,9 58,9 58,9 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-25 1 1 59,15 59,15 59,15 59,15 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-26 1 1 58,91 58,91 58,91 58,91 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-27 1 1 58,53 58,53 58,53 58,53 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-28 1 1 58,63 58,63 58,63 58,63 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-04-29 1 1 58,89 58,89 58,89 58,89 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-02 1 1 59,77 59,77 59,77 59,77 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-03 1 1 60,08 60,08 60,08 60,08 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-04 1 1 59,79 59,79 59,79 59,79 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-06 1 1 60,45 60,45 60,45 60,45 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-09 1 1 60,77 60,77 60,77 60,77 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-10 1 1 60,62 60,62 60,62 60,62 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-11 1 1 60,4 60,4 60,4 60,4 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-12 1 1 61,01 61,01 61,01 61,01 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-13 1 1 60,66 60,66 60,66 60,66 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-16 1 1 60,78 60,78 60,78 60,78 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-17 1 1 61 61 61 61 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-18 1 1 61,46 61,46 61,46 61,46 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-19 1 1 61,72 61,72 61,72 61,72 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-20 1 1 61,94 61,94 61,94 61,94 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-23 1 1 62,3 62,3 62,3 62,3 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-24 1 1 62,25 62,25 62,25 62,25 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-25 1 1 62,14 62,14 62,14 62,14 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-26 1 1 62,43 62,43 62,43 62,43 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-27 1 1 62,66 62,66 62,66 62,66 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-30 1 1 62,84 62,84 62,84 62,84 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-05-31 1 1 63 63 63 63 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-01 1 1 63,23 63,23 63,23 63,23 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-02 1 1 63,81 63,81 63,81 63,81 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-03 1 1 63,68 63,68 63,68 63,68 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-07 1 1 63,98 63,98 63,98 63,98 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-08 1 1 63,9 63,9 63,9 63,9 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-09 1 1 64,19 64,19 64,19 64,19 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-10 1 1 64,52 64,52 64,52 64,52 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-13 1 1 65,1 65,1 65,1 65,1 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-14 1 1 65,61 65,61 65,61 65,61 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-15 1 1 65,94 65,94 65,94 65,94 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-16 1 1 65,95 65,95 65,95 65,95 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-17 1 1 66,27 66,27 66,27 66,27 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-20 1 1 65,34 65,34 65,34 65,34 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-21 1 1 66,11 66,11 66,11 66,11 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-22 1 1 66,24 66,24 66,24 66,24 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-23 1 1 67 67 67 67 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-27 1 1 66,05 66,05 66,05 66,05 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-28 1 1 66,57 66,57 66,57 66,57 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-29 1 1 67,32 67,32 67,32 67,32 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-06-30 1 1 67,31 67,31 67,31 67,31 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-01 1 1 67,17 67,17 67,17 67,17 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-04 1 1 67,84 67,84 67,84 67,84 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-05 1 1 67,76 67,76 67,76 67,76 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-06 1 1 67,85 67,85 67,85 67,85 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-07 1 1 66,79 66,79 66,79 66,79 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-08 1 1 67,58 67,58 67,58 67,58 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-11 1 1 68,3 68,3 68,3 68,3 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-12 1 1 67,8 67,8 67,8 67,8 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-13 1 1 67,34 67,34 67,34 67,34 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-14 1 1 68,01 68,01 68,01 68,01 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-15 1 1 67,85 67,85 67,85 67,85 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-18 1 1 67,75 67,75 67,75 67,75 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-19 1 1 68,65 68,65 68,65 68,65 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-20 1 1 68,25 68,25 68,25 68,25 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-21 1 1 68,36 68,36 68,36 68,36 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-22 1 1 68,33 68,33 68,33 68,33 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-25 1 1 68,86 68,86 68,86 68,86 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-26 1 1 68,58 68,58 68,58 68,58 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-27 1 1 69,24 69,24 69,24 69,24 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-28 1 1 69,11 69,11 69,11 69,11 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-07-29 1 1 68,7 68,7 68,7 68,7 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-01 1 1 68,39 68,39 68,39 68,39 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-02 1 1 68,53 68,53 68,53 68,53 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-03 1 1 68,47 68,47 68,47 68,47 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-04 1 1 67,86 67,86 67,86 67,86 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-05 1 1 67,13 67,13 67,13 67,13 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-08 1 1 67,16 67,16 67,16 67,16 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-09 1 1 67,24 67,24 67,24 67,24 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-10 1 1 68,02 68,02 68,02 68,02 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-11 1 1 67,76 67,76 67,76 67,76 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-12 1 1 67,22 67,22 67,22 67,22 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-15 1 1 67,54 67,54 67,54 67,54 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-16 1 1 67,57 67,57 67,57 67,57 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-17 1 1 67,65 67,65 67,65 67,65 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-18 1 1 67,5 67,5 67,5 67,5 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-19 1 1 68,24 68,24 68,24 68,24 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-22 1 1 68,76 68,76 68,76 68,76 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-23 1 1 68,16 68,16 68,16 68,16 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-24 1 1 67,85 67,85 67,85 67,85 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-25 1 1 67,17 67,17 67,17 67,17 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-26 1 1 67 67 67 67 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-29 1 1 66,73 66,73 66,73 66,73 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-30 1 1 67,19 67,19 67,19 67,19 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-08-31 1 1 67,68 67,68 67,68 67,68 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-01 1 1 67,6 67,6 67,6 67,6 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-02 1 1 66,94 66,94 66,94 66,94 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-05 1 1 66,87 66,87 66,87 66,87 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-06 1 1 67,66 67,66 67,66 67,66 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-07 1 1 67,61 67,61 67,61 67,61 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-08 1 1 67,99 67,99 67,99 67,99 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-09 1 1 68,45 68,45 68,45 68,45 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-12 1 1 68,91 68,91 68,91 68,91 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-13 1 1 68,69 68,69 68,69 68,69 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-14 1 1 68,92 68,92 68,92 68,92 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-15 1 1 69,4 69,4 69,4 69,4 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-16 1 1 69,27 69,27 69,27 69,27 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-19 1 1 69,84 69,84 69,84 69,84 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-20 1 1 70,01 70,01 70,01 70,01 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-21 1 1 69,27 69,27 69,27 69,27 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-22 1 1 68,92 68,92 68,92 68,92 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-23 1 1 69,44 69,44 69,44 69,44 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-26 1 1 70,41 70,41 70,41 70,41 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-27 1 1 70,63 70,63 70,63 70,63 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-28 1 1 70,75 70,75 70,75 70,75 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-29 1 1 70,49 70,49 70,49 70,49 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-09-30 1 1 70,65 70,65 70,65 70,65 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-03 1 1 71,13 71,13 71,13 71,13 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-04 1 1 71,11 71,11 71,11 71,11 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-05 1 1 70,49 70,49 70,49 70,49 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-06 1 1 68,72 68,72 68,72 68,72 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-07 1 1 68,52 68,52 68,52 68,52 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-10 1 1 68,56 68,56 68,56 68,56 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-11 1 1 69,16 69,16 69,16 69,16 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-12 1 1 69,11 69,11 69,11 69,11 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-13 1 1 68,52 68,52 68,52 68,52 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-14 1 1 68,9 68,9 68,9 68,9 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-17 1 1 69,31 69,31 69,31 69,31 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-18 1 1 69,39 69,39 69,39 69,39 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-19 1 1 68,85 68,85 68,85 68,85 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-20 1 1 69,46 69,46 69,46 69,46 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-21 1 1 68,69 68,69 68,69 68,69 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-24 1 1 69,76 69,76 69,76 69,76 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-25 1 1 70,05 70,05 70,05 70,05 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-26 1 1 69,38 69,38 69,38 69,38 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-27 1 1 69,21 69,21 69,21 69,21 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-28 1 1 68,85 68,85 68,85 68,85 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-10-31 1 1 70,49 70,49 70,49 70,49 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-01 1 1 70,78 70,78 70,78 70,78 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-02 1 1 71,02 71,02 71,02 71,02 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-03 1 1 72,25 72,25 72,25 72,25 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-04 1 1 72,25 72,25 72,25 72,25 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-07 1 1 72,94 72,94 72,94 72,94 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-08 1 1 73,03 73,03 73,03 73,03 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-09 1 1 72,54 72,54 72,54 72,54 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-10 1 1 72,9 72,9 72,9 72,9 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-11 1 1 74,03 74,03 74,03 74,03 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-14 1 1 73,29 73,29 73,29 73,29 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-15 1 1 73,36 73,36 73,36 73,36 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-16 1 1 73,47 73,47 73,47 73,47 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-17 1 1 74,32 74,32 74,32 74,32 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-18 1 1 74,71 74,71 74,71 74,71 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-21 1 1 74,07 74,07 74,07 74,07 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-22 1 1 74,28 74,28 74,28 74,28 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-23 1 1 74,05 74,05 74,05 74,05 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-24 1 1 74,19 74,19 74,19 74,19 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-25 1 1 74,5 74,5 74,5 74,5 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-28 1 1 74,59 74,59 74,59 74,59 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-29 1 1 74,06 74,06 74,06 74,06 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-11-30 1 1 74,2 74,2 74,2 74,2 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-01 1 1 74,57 74,57 74,57 74,57 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-02 1 1 75,11 75,11 75,11 75,11 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-05 1 1 74,53 74,53 74,53 74,53 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-06 1 1 74,36 74,36 74,36 74,36 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-07 1 1 74,47 74,47 74,47 74,47 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-08 1 1 73,66 73,66 73,66 73,66 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-12 1 1 74,18 74,18 74,18 74,18 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-13 1 1 73,88 73,88 73,88 73,88 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-14 1 1 73,82 73,82 73,82 73,82 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-15 1 1 73,82 73,82 73,82 73,82 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-16 1 1 74,28 74,28 74,28 74,28 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-19 1 1 73,98 73,98 73,98 73,98 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-20 1 1 73,49 73,49 73,49 73,49 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-21 1 1 74,89 74,89 74,89 74,89 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-22 1 1 75,09 75,09 75,09 75,09 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-23 1 1 75,1 75,1 75,1 75,1 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-27 1 1 75,62 75,62 75,62 75,62 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-28 1 1 74,67 74,67 74,67 74,67 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-29 1 1 74,73 74,73 74,73 74,73 399394 Folksam Fond AB (publ) Folksams Globala Aktiefond SEK 2005-12-30 1 1 74,54 74,54 74,54 74,54 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-03 1 1 152,39 152,39 152,39 152,39 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-04 1 1 152,4 152,4 152,4 152,4 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-05 1 1 152,22 152,22 152,22 152,22 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-07 1 1 152,73 152,73 152,73 152,73 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-10 1 1 152,85 152,85 152,85 152,85 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-11 1 1 152,89 152,89 152,89 152,89 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-12 1 1 152,86 152,86 152,86 152,86 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-13 1 1 153,08 153,08 153,08 153,08 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-14 1 1 153,11 153,11 153,11 153,11 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-17 1 1 153,26 153,26 153,26 153,26 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-18 1 1 153,11 153,11 153,11 153,11 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-19 1 1 153,26 153,26 153,26 153,26 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-20 1 1 153,1 153,1 153,1 153,1 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-21 1 1 153,32 153,32 153,32 153,32 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-24 1 1 153,62 153,62 153,62 153,62 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-25 1 1 153,64 153,64 153,64 153,64 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-26 1 1 153,46 153,46 153,46 153,46 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-27 1 1 153,36 153,36 153,36 153,36 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-28 1 1 153,61 153,61 153,61 153,61 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-01-31 1 1 153,65 153,65 153,65 153,65 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-01 1 1 153,78 153,78 153,78 153,78 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-02 1 1 153,76 153,76 153,76 153,76 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-03 1 1 153,69 153,69 153,69 153,69 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-04 1 1 153,88 153,88 153,88 153,88 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-07 1 1 153,96 153,96 153,96 153,96 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-08 1 1 153,9 153,9 153,9 153,9 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-09 1 1 154,07 154,07 154,07 154,07 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-10 1 1 154,23 154,23 154,23 154,23 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-11 1 1 154,23 154,23 154,23 154,23 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-14 1 1 154,16 154,16 154,16 154,16 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-15 1 1 154,1 154,1 154,1 154,1 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-16 1 1 154,17 154,17 154,17 154,17 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-17 1 1 154,07 154,07 154,07 154,07 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-18 1 1 153,66 153,66 153,66 153,66 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-21 1 1 153,55 153,55 153,55 153,55 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-22 1 1 153,43 153,43 153,43 153,43 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-23 1 1 153,6 153,6 153,6 153,6 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-24 1 1 153,44 153,44 153,44 153,44 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-25 1 1 153,31 153,31 153,31 153,31 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-02-28 1 1 153,56 153,56 153,56 153,56 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-01 1 1 153,48 153,48 153,48 153,48 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-02 1 1 153,27 153,27 153,27 153,27 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-03 1 1 153,44 153,44 153,44 153,44 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-04 1 1 153,7 153,7 153,7 153,7 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-07 1 1 153,91 153,91 153,91 153,91 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-08 1 1 154,02 154,02 154,02 154,02 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-09 1 1 153,76 153,76 153,76 153,76 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-10 1 1 153,81 153,81 153,81 153,81 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-11 1 1 146,43 146,43 146,43 146,43 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-14 1 1 146,44 146,44 146,44 146,44 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-15 1 1 146,63 146,63 146,63 146,63 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-16 1 1 146,55 146,55 146,55 146,55 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-17 1 1 146,66 146,66 146,66 146,66 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-18 1 1 146,57 146,57 146,57 146,57 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-21 1 1 146,47 146,47 146,47 146,47 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-22 1 1 146,63 146,63 146,63 146,63 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-23 1 1 146,52 146,52 146,52 146,52 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-24 1 1 146,61 146,61 146,61 146,61 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-29 1 1 146,72 146,72 146,72 146,72 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-30 1 1 146,79 146,79 146,79 146,79 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-03-31 1 1 147,06 147,06 147,06 147,06 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-01 1 1 147,29 147,29 147,29 147,29 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-04 1 1 147,4 147,4 147,4 147,4 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-05 1 1 147,43 147,43 147,43 147,43 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-06 1 1 147,5 147,5 147,5 147,5 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-07 1 1 147,55 147,55 147,55 147,55 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-08 1 1 147,36 147,36 147,36 147,36 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-11 1 1 147,55 147,55 147,55 147,55 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-12 1 1 147,59 147,59 147,59 147,59 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-13 1 1 147,77 147,77 147,77 147,77 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-14 1 1 147,9 147,9 147,9 147,9 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-15 1 1 148,15 148,15 148,15 148,15 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-18 1 1 148,28 148,28 148,28 148,28 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-19 1 1 148,3 148,3 148,3 148,3 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-20 1 1 148,28 148,28 148,28 148,28 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-21 1 1 148,26 148,26 148,26 148,26 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-22 1 1 148,55 148,55 148,55 148,55 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-25 1 1 148,72 148,72 148,72 148,72 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-26 1 1 148,86 148,86 148,86 148,86 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-27 1 1 149,02 149,02 149,02 149,02 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-28 1 1 149,19 149,19 149,19 149,19 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-04-29 1 1 149,22 149,22 149,22 149,22 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-02 1 1 149,4 149,4 149,4 149,4 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-03 1 1 149,46 149,46 149,46 149,46 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-04 1 1 149,18 149,18 149,18 149,18 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-06 1 1 148,91 148,91 148,91 148,91 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-09 1 1 149,02 149,02 149,02 149,02 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-10 1 1 149,35 149,35 149,35 149,35 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-11 1 1 149,57 149,57 149,57 149,57 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-12 1 1 149,47 149,47 149,47 149,47 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-13 1 1 149,81 149,81 149,81 149,81 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-16 1 1 149,87 149,87 149,87 149,87 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-17 1 1 149,9 149,9 149,9 149,9 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-18 1 1 150,2 150,2 150,2 150,2 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-19 1 1 150,17 150,17 150,17 150,17 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-20 1 1 149,9 149,9 149,9 149,9 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-23 1 1 149,96 149,96 149,96 149,96 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-24 1 1 150,13 150,13 150,13 150,13 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-25 1 1 150,25 150,25 150,25 150,25 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-26 1 1 150,12 150,12 150,12 150,12 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-27 1 1 150,14 150,14 150,14 150,14 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-30 1 1 150,03 150,03 150,03 150,03 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-05-31 1 1 150,42 150,42 150,42 150,42 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-01 1 1 150,61 150,61 150,61 150,61 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-02 1 1 150,75 150,75 150,75 150,75 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-03 1 1 151,09 151,09 151,09 151,09 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-07 1 1 151,19 151,19 151,19 151,19 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-08 1 1 151,59 151,59 151,59 151,59 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-09 1 1 151,56 151,56 151,56 151,56 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-10 1 1 151,58 151,58 151,58 151,58 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-13 1 1 151,58 151,58 151,58 151,58 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-14 1 1 151,43 151,43 151,43 151,43 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-15 1 1 151,17 151,17 151,17 151,17 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-16 1 1 151,09 151,09 151,09 151,09 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-17 1 1 151,27 151,27 151,27 151,27 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-20 1 1 151,28 151,28 151,28 151,28 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-21 1 1 151,88 151,88 151,88 151,88 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-22 1 1 152,26 152,26 152,26 152,26 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-23 1 1 152,19 152,19 152,19 152,19 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-27 1 1 152,36 152,36 152,36 152,36 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-28 1 1 152,21 152,21 152,21 152,21 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-29 1 1 152,36 152,36 152,36 152,36 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-06-30 1 1 152,37 152,37 152,37 152,37 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-01 1 1 152,37 152,37 152,37 152,37 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-04 1 1 152,2 152,2 152,2 152,2 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-05 1 1 152,02 152,02 152,02 152,02 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-06 1 1 152,07 152,07 152,07 152,07 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-07 1 1 152,31 152,31 152,31 152,31 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-08 1 1 152,38 152,38 152,38 152,38 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-11 1 1 152,18 152,18 152,18 152,18 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-12 1 1 152,06 152,06 152,06 152,06 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-13 1 1 151,97 151,97 151,97 151,97 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-14 1 1 151,87 151,87 151,87 151,87 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-15 1 1 151,77 151,77 151,77 151,77 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-18 1 1 151,95 151,95 151,95 151,95 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-19 1 1 151,91 151,91 151,91 151,91 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-20 1 1 151,87 151,87 151,87 151,87 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-21 1 1 151,98 151,98 151,98 151,98 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-22 1 1 152,15 152,15 152,15 152,15 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-25 1 1 152,34 152,34 152,34 152,34 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-26 1 1 152,24 152,24 152,24 152,24 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-27 1 1 152,39 152,39 152,39 152,39 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-28 1 1 152,24 152,24 152,24 152,24 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-07-29 1 1 151,99 151,99 151,99 151,99 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-01 1 1 151,65 151,65 151,65 151,65 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-02 1 1 151,4 151,4 151,4 151,4 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-03 1 1 151,25 151,25 151,25 151,25 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-04 1 1 151,45 151,45 151,45 151,45 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-05 1 1 151,15 151,15 151,15 151,15 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-08 1 1 151,17 151,17 151,17 151,17 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-09 1 1 151,21 151,21 151,21 151,21 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-10 1 1 151,38 151,38 151,38 151,38 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-11 1 1 151,43 151,43 151,43 151,43 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-12 1 1 151,51 151,51 151,51 151,51 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-15 1 1 151,61 151,61 151,61 151,61 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-16 1 1 151,69 151,69 151,69 151,69 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-17 1 1 151,68 151,68 151,68 151,68 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-18 1 1 151,66 151,66 151,66 151,66 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-19 1 1 151,6 151,6 151,6 151,6 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-22 1 1 151,73 151,73 151,73 151,73 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-23 1 1 151,96 151,96 151,96 151,96 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-24 1 1 151,88 151,88 151,88 151,88 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-25 1 1 152,01 152,01 152,01 152,01 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-26 1 1 152,06 152,06 152,06 152,06 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-29 1 1 152,01 152,01 152,01 152,01 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-30 1 1 151,98 151,98 151,98 151,98 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-08-31 1 1 152,21 152,21 152,21 152,21 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-01 1 1 152,45 152,45 152,45 152,45 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-02 1 1 152,51 152,51 152,51 152,51 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-05 1 1 152,67 152,67 152,67 152,67 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-06 1 1 152,5 152,5 152,5 152,5 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-07 1 1 152,5 152,5 152,5 152,5 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-08 1 1 152,63 152,63 152,63 152,63 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-09 1 1 152,75 152,75 152,75 152,75 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-12 1 1 152,46 152,46 152,46 152,46 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-13 1 1 152,44 152,44 152,44 152,44 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-14 1 1 152,43 152,43 152,43 152,43 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-15 1 1 152,35 152,35 152,35 152,35 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-16 1 1 152,27 152,27 152,27 152,27 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-19 1 1 152,3 152,3 152,3 152,3 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-20 1 1 152,5 152,5 152,5 152,5 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-21 1 1 152,72 152,72 152,72 152,72 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-22 1 1 152,72 152,72 152,72 152,72 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-23 1 1 152,47 152,47 152,47 152,47 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-26 1 1 152,32 152,32 152,32 152,32 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-27 1 1 152,36 152,36 152,36 152,36 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-28 1 1 152,21 152,21 152,21 152,21 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-29 1 1 152,02 152,02 152,02 152,02 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-09-30 1 1 152,07 152,07 152,07 152,07 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-03 1 1 151,76 151,76 151,76 151,76 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-04 1 1 151,87 151,87 151,87 151,87 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-05 1 1 151,9 151,9 151,9 151,9 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-06 1 1 151,82 151,82 151,82 151,82 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-07 1 1 151,81 151,81 151,81 151,81 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-10 1 1 151,81 151,81 151,81 151,81 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-11 1 1 151,73 151,73 151,73 151,73 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-12 1 1 151,62 151,62 151,62 151,62 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-13 1 1 151,64 151,64 151,64 151,64 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-14 1 1 151,64 151,64 151,64 151,64 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-17 1 1 151,66 151,66 151,66 151,66 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-18 1 1 151,66 151,66 151,66 151,66 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-19 1 1 151,84 151,84 151,84 151,84 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-20 1 1 151,7 151,7 151,7 151,7 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-21 1 1 151,93 151,93 151,93 151,93 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-24 1 1 151,98 151,98 151,98 151,98 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-25 1 1 151,77 151,77 151,77 151,77 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-26 1 1 151,42 151,42 151,42 151,42 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-27 1 1 151,47 151,47 151,47 151,47 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-28 1 1 151,4 151,4 151,4 151,4 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-10-31 1 1 151,33 151,33 151,33 151,33 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-01 1 1 151,31 151,31 151,31 151,31 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-02 1 1 151,02 151,02 151,02 151,02 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-03 1 1 150,95 150,95 150,95 150,95 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-04 1 1 150,71 150,71 150,71 150,71 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-07 1 1 150,65 150,65 150,65 150,65 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-08 1 1 150,73 150,73 150,73 150,73 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-09 1 1 150,6 150,6 150,6 150,6 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-10 1 1 150,67 150,67 150,67 150,67 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-11 1 1 150,75 150,75 150,75 150,75 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-14 1 1 150,89 150,89 150,89 150,89 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-15 1 1 150,79 150,79 150,79 150,79 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-16 1 1 151,06 151,06 151,06 151,06 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-17 1 1 150,93 150,93 150,93 150,93 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-18 1 1 150,59 150,59 150,59 150,59 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-21 1 1 150,76 150,76 150,76 150,76 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-22 1 1 150,85 150,85 150,85 150,85 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-23 1 1 150,92 150,92 150,92 150,92 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-24 1 1 151,24 151,24 151,24 151,24 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-25 1 1 151,05 151,05 151,05 151,05 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-28 1 1 151,09 151,09 151,09 151,09 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-29 1 1 151,09 151,09 151,09 151,09 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-11-30 1 1 150,91 150,91 150,91 150,91 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-01 1 1 151,11 151,11 151,11 151,11 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-02 1 1 150,78 150,78 150,78 150,78 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-05 1 1 150,61 150,61 150,61 150,61 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-06 1 1 150,54 150,54 150,54 150,54 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-07 1 1 150,65 150,65 150,65 150,65 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-08 1 1 150,53 150,53 150,53 150,53 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-12 1 1 150,49 150,49 150,49 150,49 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-13 1 1 150,62 150,62 150,62 150,62 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-14 1 1 150,82 150,82 150,82 150,82 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-15 1 1 150,87 150,87 150,87 150,87 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-16 1 1 150,89 150,89 150,89 150,89 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-19 1 1 151,05 151,05 151,05 151,05 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-20 1 1 151,02 151,02 151,02 151,02 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-21 1 1 150,79 150,79 150,79 150,79 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-22 1 1 150,7 150,7 150,7 150,7 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-23 1 1 150,76 150,76 150,76 150,76 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-27 1 1 150,98 150,98 150,98 150,98 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-28 1 1 150,99 150,99 150,99 150,99 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-29 1 1 150,91 150,91 150,91 150,91 578542 Folksam Fond AB (publ) Folksams Obligationsfond SEK 2005-12-30 1 1 151,05 151,05 151,05 151,05 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-03 1 1 124,86 124,86 124,86 124,86 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-04 1 1 124,86 124,86 124,86 124,86 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-05 1 1 124,87 124,87 124,87 124,87 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-07 1 1 124,89 124,89 124,89 124,89 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-10 1 1 124,91 124,91 124,91 124,91 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-11 1 1 124,92 124,92 124,92 124,92 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-12 1 1 124,91 124,91 124,91 124,91 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-13 1 1 124,92 124,92 124,92 124,92 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-14 1 1 124,93 124,93 124,93 124,93 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-17 1 1 124,95 124,95 124,95 124,95 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-18 1 1 124,96 124,96 124,96 124,96 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-19 1 1 124,97 124,97 124,97 124,97 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-20 1 1 124,97 124,97 124,97 124,97 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-21 1 1 124,99 124,99 124,99 124,99 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-24 1 1 125,02 125,02 125,02 125,02 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-25 1 1 125,02 125,02 125,02 125,02 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-26 1 1 125,02 125,02 125,02 125,02 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-27 1 1 125,04 125,04 125,04 125,04 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-28 1 1 125,05 125,05 125,05 125,05 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-01-31 1 1 125,06 125,06 125,06 125,06 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-01 1 1 125,07 125,07 125,07 125,07 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-02 1 1 125,07 125,07 125,07 125,07 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-03 1 1 125,08 125,08 125,08 125,08 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-04 1 1 125,08 125,08 125,08 125,08 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-07 1 1 125,11 125,11 125,11 125,11 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-08 1 1 125,11 125,11 125,11 125,11 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-09 1 1 125,11 125,11 125,11 125,11 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-10 1 1 125,12 125,12 125,12 125,12 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-11 1 1 125,14 125,14 125,14 125,14 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-14 1 1 125,16 125,16 125,16 125,16 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-15 1 1 125,16 125,16 125,16 125,16 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-16 1 1 125,16 125,16 125,16 125,16 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-17 1 1 125,18 125,18 125,18 125,18 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-18 1 1 125,18 125,18 125,18 125,18 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-21 1 1 125,2 125,2 125,2 125,2 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-22 1 1 125,21 125,21 125,21 125,21 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-23 1 1 125,2 125,2 125,2 125,2 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-24 1 1 125,2 125,2 125,2 125,2 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-25 1 1 125,21 125,21 125,21 125,21 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-02-28 1 1 125,25 125,25 125,25 125,25 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-01 1 1 125,26 125,26 125,26 125,26 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-02 1 1 125,24 125,24 125,24 125,24 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-03 1 1 125,26 125,26 125,26 125,26 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-04 1 1 125,27 125,27 125,27 125,27 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-07 1 1 125,29 125,29 125,29 125,29 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-08 1 1 125,31 125,31 125,31 125,31 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-09 1 1 125,32 125,32 125,32 125,32 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-10 1 1 125,33 125,33 125,33 125,33 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-11 1 1 122,06 122,06 122,06 122,06 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-14 1 1 122,08 122,08 122,08 122,08 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-15 1 1 122,09 122,09 122,09 122,09 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-16 1 1 122,08 122,08 122,08 122,08 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-17 1 1 122,09 122,09 122,09 122,09 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-18 1 1 122,09 122,09 122,09 122,09 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-21 1 1 122,11 122,11 122,11 122,11 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-22 1 1 122,1 122,1 122,1 122,1 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-23 1 1 122,11 122,11 122,11 122,11 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-24 1 1 122,12 122,12 122,12 122,12 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-29 1 1 122,16 122,16 122,16 122,16 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-30 1 1 122,16 122,16 122,16 122,16 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-03-31 1 1 122,17 122,17 122,17 122,17 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-01 1 1 122,17 122,17 122,17 122,17 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-04 1 1 122,2 122,2 122,2 122,2 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-05 1 1 122,21 122,21 122,21 122,21 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-06 1 1 122,2 122,2 122,2 122,2 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-07 1 1 122,21 122,21 122,21 122,21 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-08 1 1 122,22 122,22 122,22 122,22 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-11 1 1 122,24 122,24 122,24 122,24 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-12 1 1 122,25 122,25 122,25 122,25 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-13 1 1 122,25 122,25 122,25 122,25 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-14 1 1 122,26 122,26 122,26 122,26 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-15 1 1 122,28 122,28 122,28 122,28 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-19 1 1 122,31 122,31 122,31 122,31 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-20 1 1 122,3 122,3 122,3 122,3 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-21 1 1 122,31 122,31 122,31 122,31 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-22 1 1 122,32 122,32 122,32 122,32 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-25 1 1 122,35 122,35 122,35 122,35 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-26 1 1 122,35 122,35 122,35 122,35 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-27 1 1 122,36 122,36 122,36 122,36 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-28 1 1 122,38 122,38 122,38 122,38 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-04-29 1 1 122,39 122,39 122,39 122,39 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-02 1 1 122,42 122,42 122,42 122,42 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-03 1 1 122,44 122,44 122,44 122,44 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-04 1 1 122,44 122,44 122,44 122,44 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-06 1 1 122,45 122,45 122,45 122,45 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-09 1 1 122,48 122,48 122,48 122,48 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-10 1 1 122,49 122,49 122,49 122,49 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-11 1 1 122,5 122,5 122,5 122,5 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-12 1 1 122,5 122,5 122,5 122,5 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-13 1 1 122,52 122,52 122,52 122,52 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-16 1 1 122,55 122,55 122,55 122,55 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-17 1 1 122,56 122,56 122,56 122,56 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-18 1 1 122,58 122,58 122,58 122,58 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-19 1 1 122,59 122,59 122,59 122,59 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-20 1 1 122,58 122,58 122,58 122,58 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-23 1 1 122,6 122,6 122,6 122,6 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-24 1 1 122,61 122,61 122,61 122,61 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-25 1 1 122,61 122,61 122,61 122,61 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-26 1 1 122,62 122,62 122,62 122,62 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-27 1 1 122,62 122,62 122,62 122,62 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-30 1 1 122,64 122,64 122,64 122,64 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-05-31 1 1 122,65 122,65 122,65 122,65 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-01 1 1 122,66 122,66 122,66 122,66 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-02 1 1 122,67 122,67 122,67 122,67 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-03 1 1 122,69 122,69 122,69 122,69 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-07 1 1 122,73 122,73 122,73 122,73 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-08 1 1 122,78 122,78 122,78 122,78 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-09 1 1 122,8 122,8 122,8 122,8 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-10 1 1 122,81 122,81 122,81 122,81 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-13 1 1 122,84 122,84 122,84 122,84 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-14 1 1 122,84 122,84 122,84 122,84 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-15 1 1 122,84 122,84 122,84 122,84 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-16 1 1 122,86 122,86 122,86 122,86 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-17 1 1 122,88 122,88 122,88 122,88 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-20 1 1 122,9 122,9 122,9 122,9 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-21 1 1 122,96 122,96 122,96 122,96 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-22 1 1 122,98 122,98 122,98 122,98 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-23 1 1 122,98 122,98 122,98 122,98 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-27 1 1 123,01 123,01 123,01 123,01 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-28 1 1 123 123 123 123 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-29 1 1 123 123 123 123 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-06-30 1 1 123 123 123 123 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-01 1 1 123 123 123 123 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-04 1 1 123,01 123,01 123,01 123,01 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-05 1 1 123,01 123,01 123,01 123,01 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-06 1 1 123,01 123,01 123,01 123,01 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-07 1 1 123,03 123,03 123,03 123,03 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-08 1 1 123,04 123,04 123,04 123,04 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-11 1 1 123,05 123,05 123,05 123,05 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-12 1 1 123,05 123,05 123,05 123,05 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-13 1 1 123,04 123,04 123,04 123,04 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-14 1 1 123,05 123,05 123,05 123,05 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-15 1 1 123,05 123,05 123,05 123,05 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-18 1 1 123,08 123,08 123,08 123,08 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-19 1 1 123,08 123,08 123,08 123,08 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-20 1 1 123,07 123,07 123,07 123,07 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-21 1 1 123,09 123,09 123,09 123,09 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-22 1 1 123,09 123,09 123,09 123,09 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-25 1 1 123,11 123,11 123,11 123,11 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-26 1 1 123,11 123,11 123,11 123,11 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-27 1 1 123,11 123,11 123,11 123,11 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-28 1 1 123,12 123,12 123,12 123,12 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-07-29 1 1 123,11 123,11 123,11 123,11 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-01 1 1 123,11 123,11 123,11 123,11 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-02 1 1 123,1 123,1 123,1 123,1 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-03 1 1 123,09 123,09 123,09 123,09 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-04 1 1 123,1 123,1 123,1 123,1 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-05 1 1 123,1 123,1 123,1 123,1 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-08 1 1 123,12 123,12 123,12 123,12 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-09 1 1 123,12 123,12 123,12 123,12 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-10 1 1 123,12 123,12 123,12 123,12 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-11 1 1 123,13 123,13 123,13 123,13 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-12 1 1 123,14 123,14 123,14 123,14 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-15 1 1 123,16 123,16 123,16 123,16 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-16 1 1 123,16 123,16 123,16 123,16 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-17 1 1 123,15 123,15 123,15 123,15 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-18 1 1 123,16 123,16 123,16 123,16 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-19 1 1 123,17 123,17 123,17 123,17 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-22 1 1 123,18 123,18 123,18 123,18 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-23 1 1 123,19 123,19 123,19 123,19 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-24 1 1 123,18 123,18 123,18 123,18 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-25 1 1 123,19 123,19 123,19 123,19 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-26 1 1 123,19 123,19 123,19 123,19 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-29 1 1 123,2 123,2 123,2 123,2 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-30 1 1 123,21 123,21 123,21 123,21 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-08-31 1 1 123,21 123,21 123,21 123,21 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-01 1 1 123,22 123,22 123,22 123,22 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-02 1 1 123,23 123,23 123,23 123,23 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-05 1 1 123,26 123,26 123,26 123,26 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-06 1 1 123,25 123,25 123,25 123,25 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-07 1 1 123,25 123,25 123,25 123,25 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-08 1 1 123,26 123,26 123,26 123,26 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-09 1 1 123,27 123,27 123,27 123,27 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-12 1 1 123,28 123,28 123,28 123,28 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-13 1 1 123,28 123,28 123,28 123,28 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-14 1 1 123,27 123,27 123,27 123,27 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-15 1 1 123,28 123,28 123,28 123,28 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-16 1 1 123,28 123,28 123,28 123,28 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-19 1 1 123,31 123,31 123,31 123,31 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-20 1 1 123,32 123,32 123,32 123,32 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-21 1 1 123,32 123,32 123,32 123,32 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-22 1 1 123,34 123,34 123,34 123,34 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-23 1 1 123,33 123,33 123,33 123,33 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-26 1 1 123,34 123,34 123,34 123,34 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-27 1 1 123,35 123,35 123,35 123,35 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-28 1 1 123,34 123,34 123,34 123,34 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-29 1 1 123,34 123,34 123,34 123,34 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-09-30 1 1 123,33 123,33 123,33 123,33 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-03 1 1 123,33 123,33 123,33 123,33 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-04 1 1 123,34 123,34 123,34 123,34 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-05 1 1 123,34 123,34 123,34 123,34 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-06 1 1 123,35 123,35 123,35 123,35 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-07 1 1 123,35 123,35 123,35 123,35 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-10 1 1 123,36 123,36 123,36 123,36 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-11 1 1 123,36 123,36 123,36 123,36 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-12 1 1 123,36 123,36 123,36 123,36 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-13 1 1 123,39 123,39 123,39 123,39 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-14 1 1 123,4 123,4 123,4 123,4 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-17 1 1 123,41 123,41 123,41 123,41 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-18 1 1 123,41 123,41 123,41 123,41 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-19 1 1 123,42 123,42 123,42 123,42 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-20 1 1 123,44 123,44 123,44 123,44 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-21 1 1 123,45 123,45 123,45 123,45 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-24 1 1 123,46 123,46 123,46 123,46 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-25 1 1 123,46 123,46 123,46 123,46 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-26 1 1 123,45 123,45 123,45 123,45 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-27 1 1 123,47 123,47 123,47 123,47 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-28 1 1 123,47 123,47 123,47 123,47 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-10-31 1 1 123,48 123,48 123,48 123,48 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-01 1 1 123,48 123,48 123,48 123,48 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-02 1 1 123,47 123,47 123,47 123,47 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-03 1 1 123,48 123,48 123,48 123,48 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-04 1 1 123,47 123,47 123,47 123,47 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-07 1 1 123,49 123,49 123,49 123,49 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-08 1 1 123,49 123,49 123,49 123,49 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-09 1 1 123,48 123,48 123,48 123,48 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-10 1 1 123,49 123,49 123,49 123,49 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-11 1 1 123,5 123,5 123,5 123,5 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-14 1 1 123,52 123,52 123,52 123,52 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-15 1 1 123,52 123,52 123,52 123,52 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-16 1 1 123,52 123,52 123,52 123,52 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-17 1 1 123,53 123,53 123,53 123,53 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-18 1 1 123,52 123,52 123,52 123,52 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-21 1 1 123,54 123,54 123,54 123,54 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-22 1 1 123,53 123,53 123,53 123,53 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-23 1 1 123,54 123,54 123,54 123,54 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-24 1 1 123,57 123,57 123,57 123,57 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-25 1 1 123,56 123,56 123,56 123,56 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-28 1 1 123,58 123,58 123,58 123,58 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-29 1 1 123,58 123,58 123,58 123,58 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-11-30 1 1 123,57 123,57 123,57 123,57 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-01 1 1 123,58 123,58 123,58 123,58 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-02 1 1 123,56 123,56 123,56 123,56 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-05 1 1 123,56 123,56 123,56 123,56 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-06 1 1 123,55 123,55 123,55 123,55 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-07 1 1 123,55 123,55 123,55 123,55 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-08 1 1 123,55 123,55 123,55 123,55 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-12 1 1 123,57 123,57 123,57 123,57 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-13 1 1 123,58 123,58 123,58 123,58 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-14 1 1 123,58 123,58 123,58 123,58 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-15 1 1 123,59 123,59 123,59 123,59 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-16 1 1 123,6 123,6 123,6 123,6 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-19 1 1 123,62 123,62 123,62 123,62 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-20 1 1 123,62 123,62 123,62 123,62 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-21 1 1 123,61 123,61 123,61 123,61 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-22 1 1 123,63 123,63 123,63 123,63 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-23 1 1 123,63 123,63 123,63 123,63 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-27 1 1 123,65 123,65 123,65 123,65 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-28 1 1 123,65 123,65 123,65 123,65 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-29 1 1 123,66 123,66 123,66 123,66 614370 Folksam Fond AB (publ) Folksams Penningmarknadsfond SEK 2005-12-30 1 1 123,66 123,66 123,66 123,66 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-03 1 1 116,16 116,16 116,16 116,16 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-04 1 1 116,22 116,22 116,22 116,22 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-05 1 1 116,02 116,02 116,02 116,02 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-07 1 1 116,42 116,42 116,42 116,42 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-10 1 1 116,49 116,49 116,49 116,49 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-11 1 1 116,52 116,52 116,52 116,52 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-12 1 1 116,5 116,5 116,5 116,5 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-13 1 1 116,67 116,67 116,67 116,67 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-14 1 1 116,7 116,7 116,7 116,7 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-17 1 1 116,84 116,84 116,84 116,84 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-18 1 1 116,72 116,72 116,72 116,72 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-19 1 1 116,89 116,89 116,89 116,89 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-20 1 1 116,73 116,73 116,73 116,73 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-21 1 1 116,86 116,86 116,86 116,86 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-24 1 1 117,08 117,08 117,08 117,08 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-25 1 1 117,1 117,1 117,1 117,1 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-26 1 1 116,94 116,94 116,94 116,94 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-27 1 1 116,83 116,83 116,83 116,83 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-28 1 1 117,06 117,06 117,06 117,06 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-01-31 1 1 117,08 117,08 117,08 117,08 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-01 1 1 117,2 117,2 117,2 117,2 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-02 1 1 117,17 117,17 117,17 117,17 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-03 1 1 117,09 117,09 117,09 117,09 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-04 1 1 117,29 117,29 117,29 117,29 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-07 1 1 117,37 117,37 117,37 117,37 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-08 1 1 117,33 117,33 117,33 117,33 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-09 1 1 117,48 117,48 117,48 117,48 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-10 1 1 117,6 117,6 117,6 117,6 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-11 1 1 117,55 117,55 117,55 117,55 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-14 1 1 117,48 117,48 117,48 117,48 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-15 1 1 117,43 117,43 117,43 117,43 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-16 1 1 117,45 117,45 117,45 117,45 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-17 1 1 117,31 117,31 117,31 117,31 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-18 1 1 116,98 116,98 116,98 116,98 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-21 1 1 116,91 116,91 116,91 116,91 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-22 1 1 116,81 116,81 116,81 116,81 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-23 1 1 116,96 116,96 116,96 116,96 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-24 1 1 116,85 116,85 116,85 116,85 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-25 1 1 116,71 116,71 116,71 116,71 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-02-28 1 1 116,89 116,89 116,89 116,89 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-01 1 1 116,78 116,78 116,78 116,78 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-02 1 1 116,61 116,61 116,61 116,61 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-03 1 1 116,75 116,75 116,75 116,75 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-04 1 1 116,96 116,96 116,96 116,96 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-07 1 1 117,14 117,14 117,14 117,14 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-08 1 1 117,16 117,16 117,16 117,16 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-09 1 1 116,92 116,92 116,92 116,92 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-10 1 1 116,95 116,95 116,95 116,95 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-11 1 1 110,63 110,63 110,63 110,63 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-14 1 1 110,61 110,61 110,61 110,61 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-15 1 1 110,8 110,8 110,8 110,8 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-16 1 1 110,71 110,71 110,71 110,71 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-17 1 1 110,83 110,83 110,83 110,83 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-18 1 1 110,74 110,74 110,74 110,74 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-21 1 1 110,66 110,66 110,66 110,66 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-22 1 1 110,8 110,8 110,8 110,8 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-23 1 1 110,63 110,63 110,63 110,63 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-24 1 1 110,73 110,73 110,73 110,73 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-29 1 1 110,79 110,79 110,79 110,79 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-30 1 1 110,85 110,85 110,85 110,85 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-03-31 1 1 111,09 111,09 111,09 111,09 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-01 1 1 111,29 111,29 111,29 111,29 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-04 1 1 111,37 111,37 111,37 111,37 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-05 1 1 111,39 111,39 111,39 111,39 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-06 1 1 111,44 111,44 111,44 111,44 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-07 1 1 111,5 111,5 111,5 111,5 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-08 1 1 111,34 111,34 111,34 111,34 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-11 1 1 111,48 111,48 111,48 111,48 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-12 1 1 111,52 111,52 111,52 111,52 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-13 1 1 111,7 111,7 111,7 111,7 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-14 1 1 111,75 111,75 111,75 111,75 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-15 1 1 111,98 111,98 111,98 111,98 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-18 1 1 112,11 112,11 112,11 112,11 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-19 1 1 112,13 112,13 112,13 112,13 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-20 1 1 112,12 112,12 112,12 112,12 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-21 1 1 112,08 112,08 112,08 112,08 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-22 1 1 112,26 112,26 112,26 112,26 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-25 1 1 112,38 112,38 112,38 112,38 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-26 1 1 112,49 112,49 112,49 112,49 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-27 1 1 112,62 112,62 112,62 112,62 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-28 1 1 112,74 112,74 112,74 112,74 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-04-29 1 1 112,75 112,75 112,75 112,75 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-02 1 1 112,89 112,89 112,89 112,89 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-03 1 1 112,94 112,94 112,94 112,94 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-04 1 1 112,72 112,72 112,72 112,72 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-06 1 1 112,53 112,53 112,53 112,53 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-09 1 1 112,6 112,6 112,6 112,6 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-10 1 1 112,82 112,82 112,82 112,82 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-11 1 1 113,06 113,06 113,06 113,06 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-12 1 1 112,98 112,98 112,98 112,98 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-13 1 1 113,26 113,26 113,26 113,26 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-16 1 1 113,29 113,29 113,29 113,29 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-17 1 1 113,3 113,3 113,3 113,3 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-18 1 1 113,54 113,54 113,54 113,54 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-19 1 1 113,49 113,49 113,49 113,49 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-20 1 1 113,27 113,27 113,27 113,27 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-23 1 1 113,36 113,36 113,36 113,36 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-24 1 1 113,51 113,51 113,51 113,51 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-25 1 1 113,6 113,6 113,6 113,6 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-26 1 1 113,46 113,46 113,46 113,46 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-27 1 1 113,46 113,46 113,46 113,46 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-30 1 1 113,42 113,42 113,42 113,42 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-05-31 1 1 113,72 113,72 113,72 113,72 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-01 1 1 113,9 113,9 113,9 113,9 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-02 1 1 114,02 114,02 114,02 114,02 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-03 1 1 114,29 114,29 114,29 114,29 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-07 1 1 114,36 114,36 114,36 114,36 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-08 1 1 114,62 114,62 114,62 114,62 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-09 1 1 114,55 114,55 114,55 114,55 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-10 1 1 114,54 114,54 114,54 114,54 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-13 1 1 114,5 114,5 114,5 114,5 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-14 1 1 114,4 114,4 114,4 114,4 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-15 1 1 114,15 114,15 114,15 114,15 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-16 1 1 114,04 114,04 114,04 114,04 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-17 1 1 114,22 114,22 114,22 114,22 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-20 1 1 114,2 114,2 114,2 114,2 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-21 1 1 114,67 114,67 114,67 114,67 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-22 1 1 115 115 115 115 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-23 1 1 114,96 114,96 114,96 114,96 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-27 1 1 115,14 115,14 115,14 115,14 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-28 1 1 115,01 115,01 115,01 115,01 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-29 1 1 115,12 115,12 115,12 115,12 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-06-30 1 1 115,1 115,1 115,1 115,1 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-01 1 1 115,12 115,12 115,12 115,12 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-04 1 1 114,95 114,95 114,95 114,95 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-05 1 1 114,75 114,75 114,75 114,75 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-06 1 1 114,77 114,77 114,77 114,77 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-07 1 1 115 115 115 115 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-08 1 1 115,02 115,02 115,02 115,02 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-11 1 1 114,83 114,83 114,83 114,83 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-12 1 1 114,75 114,75 114,75 114,75 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-13 1 1 114,65 114,65 114,65 114,65 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-14 1 1 114,57 114,57 114,57 114,57 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-15 1 1 114,5 114,5 114,5 114,5 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-18 1 1 114,65 114,65 114,65 114,65 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-19 1 1 114,6 114,6 114,6 114,6 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-20 1 1 114,53 114,53 114,53 114,53 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-21 1 1 114,62 114,62 114,62 114,62 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-22 1 1 114,75 114,75 114,75 114,75 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-25 1 1 114,9 114,9 114,9 114,9 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-26 1 1 114,8 114,8 114,8 114,8 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-27 1 1 114,91 114,91 114,91 114,91 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-28 1 1 114,81 114,81 114,81 114,81 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-07-29 1 1 114,68 114,68 114,68 114,68 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-01 1 1 114,38 114,38 114,38 114,38 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-02 1 1 114,2 114,2 114,2 114,2 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-03 1 1 114,12 114,12 114,12 114,12 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-04 1 1 114,25 114,25 114,25 114,25 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-05 1 1 113,98 113,98 113,98 113,98 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-08 1 1 113,98 113,98 113,98 113,98 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-09 1 1 114,02 114,02 114,02 114,02 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-10 1 1 114,16 114,16 114,16 114,16 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-11 1 1 114,19 114,19 114,19 114,19 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-12 1 1 114,31 114,31 114,31 114,31 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-15 1 1 114,41 114,41 114,41 114,41 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-16 1 1 114,49 114,49 114,49 114,49 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-17 1 1 114,51 114,51 114,51 114,51 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-18 1 1 114,51 114,51 114,51 114,51 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-19 1 1 114,49 114,49 114,49 114,49 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-22 1 1 114,55 114,55 114,55 114,55 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-23 1 1 114,74 114,74 114,74 114,74 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-24 1 1 114,7 114,7 114,7 114,7 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-25 1 1 114,81 114,81 114,81 114,81 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-26 1 1 114,84 114,84 114,84 114,84 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-29 1 1 114,81 114,81 114,81 114,81 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-30 1 1 114,78 114,78 114,78 114,78 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-08-31 1 1 115,04 115,04 115,04 115,04 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-01 1 1 115,24 115,24 115,24 115,24 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-02 1 1 115,28 115,28 115,28 115,28 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-05 1 1 115,38 115,38 115,38 115,38 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-06 1 1 115,23 115,23 115,23 115,23 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-07 1 1 115,21 115,21 115,21 115,21 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-08 1 1 115,3 115,3 115,3 115,3 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-09 1 1 115,39 115,39 115,39 115,39 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-12 1 1 115,13 115,13 115,13 115,13 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-13 1 1 115,16 115,16 115,16 115,16 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-14 1 1 115,15 115,15 115,15 115,15 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-15 1 1 115,06 115,06 115,06 115,06 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-16 1 1 114,95 114,95 114,95 114,95 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-19 1 1 114,97 114,97 114,97 114,97 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-20 1 1 115,15 115,15 115,15 115,15 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-21 1 1 115,35 115,35 115,35 115,35 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-22 1 1 115,35 115,35 115,35 115,35 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-23 1 1 115,15 115,15 115,15 115,15 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-26 1 1 114,98 114,98 114,98 114,98 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-27 1 1 115,01 115,01 115,01 115,01 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-28 1 1 114,89 114,89 114,89 114,89 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-29 1 1 114,76 114,76 114,76 114,76 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-09-30 1 1 114,79 114,79 114,79 114,79 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-03 1 1 114,51 114,51 114,51 114,51 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-04 1 1 114,54 114,54 114,54 114,54 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-05 1 1 114,64 114,64 114,64 114,64 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-06 1 1 114,58 114,58 114,58 114,58 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-07 1 1 114,55 114,55 114,55 114,55 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-10 1 1 114,6 114,6 114,6 114,6 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-11 1 1 114,54 114,54 114,54 114,54 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-12 1 1 114,43 114,43 114,43 114,43 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-13 1 1 114,36 114,36 114,36 114,36 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-14 1 1 114,36 114,36 114,36 114,36 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-17 1 1 114,37 114,37 114,37 114,37 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-18 1 1 114,35 114,35 114,35 114,35 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-19 1 1 114,5 114,5 114,5 114,5 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-20 1 1 114,36 114,36 114,36 114,36 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-21 1 1 114,58 114,58 114,58 114,58 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-24 1 1 114,63 114,63 114,63 114,63 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-25 1 1 114,43 114,43 114,43 114,43 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-26 1 1 114,07 114,07 114,07 114,07 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-27 1 1 114,11 114,11 114,11 114,11 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-28 1 1 114,07 114,07 114,07 114,07 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-10-31 1 1 114,03 114,03 114,03 114,03 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-01 1 1 113,99 113,99 113,99 113,99 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-02 1 1 113,75 113,75 113,75 113,75 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-03 1 1 113,68 113,68 113,68 113,68 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-04 1 1 113,56 113,56 113,56 113,56 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-07 1 1 113,48 113,48 113,48 113,48 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-08 1 1 113,59 113,59 113,59 113,59 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-09 1 1 113,46 113,46 113,46 113,46 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-10 1 1 113,46 113,46 113,46 113,46 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-11 1 1 113,55 113,55 113,55 113,55 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-14 1 1 113,65 113,65 113,65 113,65 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-15 1 1 113,57 113,57 113,57 113,57 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-16 1 1 113,83 113,83 113,83 113,83 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-17 1 1 113,76 113,76 113,76 113,76 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-18 1 1 113,48 113,48 113,48 113,48 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-21 1 1 113,59 113,59 113,59 113,59 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-22 1 1 113,68 113,68 113,68 113,68 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-23 1 1 113,77 113,77 113,77 113,77 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-24 1 1 113,99 113,99 113,99 113,99 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-25 1 1 113,9 113,9 113,9 113,9 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-28 1 1 113,95 113,95 113,95 113,95 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-29 1 1 113,92 113,92 113,92 113,92 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-11-30 1 1 113,76 113,76 113,76 113,76 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-01 1 1 113,95 113,95 113,95 113,95 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-02 1 1 113,71 113,71 113,71 113,71 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-05 1 1 113,64 113,64 113,64 113,64 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-06 1 1 113,63 113,63 113,63 113,63 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-07 1 1 113,71 113,71 113,71 113,71 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-08 1 1 113,67 113,67 113,67 113,67 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-12 1 1 113,57 113,57 113,57 113,57 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-13 1 1 113,67 113,67 113,67 113,67 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-14 1 1 113,83 113,83 113,83 113,83 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-15 1 1 113,87 113,87 113,87 113,87 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-16 1 1 113,93 113,93 113,93 113,93 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-19 1 1 114 114 114 114 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-20 1 1 113,97 113,97 113,97 113,97 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-21 1 1 113,79 113,79 113,79 113,79 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-22 1 1 113,77 113,77 113,77 113,77 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-23 1 1 113,84 113,84 113,84 113,84 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-27 1 1 114,01 114,01 114,01 114,01 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-28 1 1 114,06 114,06 114,06 114,06 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-29 1 1 113,99 113,99 113,99 113,99 761940 Folksam Fond AB (publ) Folksams Tjänstemannafond Obligation SEK 2005-12-30 1 1 114,13 114,13 114,13 114,13 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-03 1 1 76,97 76,97 76,97 76,97 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-04 1 1 77,24 77,24 77,24 77,24 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-05 1 1 76,64 76,64 76,64 76,64 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-07 1 1 76,83 76,83 76,83 76,83 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-10 1 1 77,72 77,72 77,72 77,72 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-11 1 1 77,3 77,3 77,3 77,3 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-12 1 1 76,01 76,01 76,01 76,01 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-13 1 1 76,04 76,04 76,04 76,04 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-14 1 1 76,32 76,32 76,32 76,32 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-17 1 1 76,88 76,88 76,88 76,88 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-18 1 1 76,37 76,37 76,37 76,37 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-19 1 1 76,98 76,98 76,98 76,98 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-20 1 1 76,12 76,12 76,12 76,12 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-21 1 1 76 76 76 76 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-24 1 1 75,14 75,14 75,14 75,14 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-25 1 1 76,06 76,06 76,06 76,06 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-26 1 1 76,17 76,17 76,17 76,17 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-27 1 1 76,4 76,4 76,4 76,4 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-28 1 1 76,29 76,29 76,29 76,29 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-01-31 1 1 76,81 76,81 76,81 76,81 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-01 1 1 76,97 76,97 76,97 76,97 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-02 1 1 77,68 77,68 77,68 77,68 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-03 1 1 77,56 77,56 77,56 77,56 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-04 1 1 78,13 78,13 78,13 78,13 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-07 1 1 78,9 78,9 78,9 78,9 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-08 1 1 79,02 79,02 79,02 79,02 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-09 1 1 79,26 79,26 79,26 79,26 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-10 1 1 78,48 78,48 78,48 78,48 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-11 1 1 79,03 79,03 79,03 79,03 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-14 1 1 79,4 79,4 79,4 79,4 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-15 1 1 79,77 79,77 79,77 79,77 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-16 1 1 78,86 78,86 78,86 78,86 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-17 1 1 79,43 79,43 79,43 79,43 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-18 1 1 78,8 78,8 78,8 78,8 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-21 1 1 79,09 79,09 79,09 79,09 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-22 1 1 78,33 78,33 78,33 78,33 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-23 1 1 78,66 78,66 78,66 78,66 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-24 1 1 79,04 79,04 79,04 79,04 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-25 1 1 79,51 79,51 79,51 79,51 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-02-28 1 1 79,85 79,85 79,85 79,85 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-01 1 1 79,91 79,91 79,91 79,91 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-02 1 1 80,02 80,02 80,02 80,02 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-03 1 1 80,68 80,68 80,68 80,68 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-04 1 1 81,03 81,03 81,03 81,03 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-07 1 1 81,01 81,01 81,01 81,01 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-08 1 1 80,68 80,68 80,68 80,68 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-09 1 1 80,36 80,36 80,36 80,36 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-10 1 1 79,91 79,91 79,91 79,91 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-11 1 1 78,18 78,18 78,18 78,18 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-14 1 1 77,96 77,96 77,96 77,96 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-15 1 1 78,61 78,61 78,61 78,61 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-16 1 1 77,76 77,76 77,76 77,76 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-17 1 1 77,5 77,5 77,5 77,5 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-18 1 1 77,63 77,63 77,63 77,63 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-21 1 1 77,38 77,38 77,38 77,38 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-22 1 1 77,68 77,68 77,68 77,68 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-23 1 1 77,28 77,28 77,28 77,28 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-24 1 1 77,95 77,95 77,95 77,95 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-29 1 1 78,04 78,04 78,04 78,04 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-30 1 1 77,55 77,55 77,55 77,55 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-03-31 1 1 78,05 78,05 78,05 78,05 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-01 1 1 78,5 78,5 78,5 78,5 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-04 1 1 78,28 78,28 78,28 78,28 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-05 1 1 79,09 79,09 79,09 79,09 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-06 1 1 79,56 79,56 79,56 79,56 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-07 1 1 79,78 79,78 79,78 79,78 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-08 1 1 80,29 80,29 80,29 80,29 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-11 1 1 80,42 80,42 80,42 80,42 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-12 1 1 80,14 80,14 80,14 80,14 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-13 1 1 80,81 80,81 80,81 80,81 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-14 1 1 81,43 81,43 81,43 81,43 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-15 1 1 80,17 80,17 80,17 80,17 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-18 1 1 78,89 78,89 78,89 78,89 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-19 1 1 79,42 79,42 79,42 79,42 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-20 1 1 79,26 79,26 79,26 79,26 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-21 1 1 79,44 79,44 79,44 79,44 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-22 1 1 80,17 80,17 80,17 80,17 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-25 1 1 79,89 79,89 79,89 79,89 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-26 1 1 79,36 79,36 79,36 79,36 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-27 1 1 77,63 77,63 77,63 77,63 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-28 1 1 76,67 76,67 76,67 76,67 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-04-29 1 1 77,42 77,42 77,42 77,42 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-02 1 1 77,83 77,83 77,83 77,83 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-03 1 1 77,91 77,91 77,91 77,91 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-04 1 1 77,91 77,91 77,91 77,91 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-06 1 1 78,82 78,82 78,82 78,82 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-09 1 1 78,91 78,91 78,91 78,91 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-10 1 1 78,53 78,53 78,53 78,53 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-11 1 1 78,54 78,54 78,54 78,54 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-12 1 1 78,92 78,92 78,92 78,92 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-13 1 1 79,35 79,35 79,35 79,35 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-16 1 1 79,35 79,35 79,35 79,35 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-17 1 1 79,87 79,87 79,87 79,87 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-18 1 1 80,45 80,45 80,45 80,45 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-19 1 1 80,66 80,66 80,66 80,66 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-20 1 1 80,62 80,62 80,62 80,62 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-23 1 1 80,68 80,68 80,68 80,68 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-24 1 1 80,76 80,76 80,76 80,76 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-25 1 1 80,92 80,92 80,92 80,92 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-26 1 1 81,27 81,27 81,27 81,27 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-27 1 1 81,46 81,46 81,46 81,46 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-30 1 1 81,62 81,62 81,62 81,62 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-05-31 1 1 81,74 81,74 81,74 81,74 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-01 1 1 81,61 81,61 81,61 81,61 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-02 1 1 81,21 81,21 81,21 81,21 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-03 1 1 81,13 81,13 81,13 81,13 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-07 1 1 81,52 81,52 81,52 81,52 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-08 1 1 82,08 82,08 82,08 82,08 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-09 1 1 82,01 82,01 82,01 82,01 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-10 1 1 82,42 82,42 82,42 82,42 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-13 1 1 82,45 82,45 82,45 82,45 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-14 1 1 83,16 83,16 83,16 83,16 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-15 1 1 83,17 83,17 83,17 83,17 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-16 1 1 83,21 83,21 83,21 83,21 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-17 1 1 83,65 83,65 83,65 83,65 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-20 1 1 83,61 83,61 83,61 83,61 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-21 1 1 84 84 84 84 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-22 1 1 84,37 84,37 84,37 84,37 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-23 1 1 84,95 84,95 84,95 84,95 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-27 1 1 83,41 83,41 83,41 83,41 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-28 1 1 83,93 83,93 83,93 83,93 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-29 1 1 84,43 84,43 84,43 84,43 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-06-30 1 1 84,87 84,87 84,87 84,87 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-01 1 1 85,17 85,17 85,17 85,17 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-04 1 1 85,6 85,6 85,6 85,6 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-05 1 1 85,43 85,43 85,43 85,43 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-06 1 1 85,83 85,83 85,83 85,83 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-07 1 1 84,12 84,12 84,12 84,12 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-08 1 1 85,43 85,43 85,43 85,43 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-11 1 1 86,7 86,7 86,7 86,7 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-12 1 1 86,87 86,87 86,87 86,87 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-13 1 1 87,4 87,4 87,4 87,4 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-14 1 1 87,42 87,42 87,42 87,42 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-15 1 1 87,28 87,28 87,28 87,28 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-18 1 1 87,35 87,35 87,35 87,35 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-19 1 1 87,42 87,42 87,42 87,42 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-20 1 1 87,09 87,09 87,09 87,09 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-21 1 1 87,7 87,7 87,7 87,7 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-22 1 1 87,91 87,91 87,91 87,91 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-25 1 1 87,56 87,56 87,56 87,56 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-26 1 1 87,98 87,98 87,98 87,98 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-27 1 1 88,2 88,2 88,2 88,2 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-28 1 1 88,71 88,71 88,71 88,71 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-07-29 1 1 88,76 88,76 88,76 88,76 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-01 1 1 88,81 88,81 88,81 88,81 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-02 1 1 89,23 89,23 89,23 89,23 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-03 1 1 89,1 89,1 89,1 89,1 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-04 1 1 88,7 88,7 88,7 88,7 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-05 1 1 88,57 88,57 88,57 88,57 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-08 1 1 88,42 88,42 88,42 88,42 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-09 1 1 88,5 88,5 88,5 88,5 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-10 1 1 89,74 89,74 89,74 89,74 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-11 1 1 89,2 89,2 89,2 89,2 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-12 1 1 88,93 88,93 88,93 88,93 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-15 1 1 88,8 88,8 88,8 88,8 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-16 1 1 88,95 88,95 88,95 88,95 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-17 1 1 88,54 88,54 88,54 88,54 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-18 1 1 88,61 88,61 88,61 88,61 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-19 1 1 89,3 89,3 89,3 89,3 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-22 1 1 89,34 89,34 89,34 89,34 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-23 1 1 88,58 88,58 88,58 88,58 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-24 1 1 87,37 87,37 87,37 87,37 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-25 1 1 86,56 86,56 86,56 86,56 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-26 1 1 85,84 85,84 85,84 85,84 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-29 1 1 86,16 86,16 86,16 86,16 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-30 1 1 86,64 86,64 86,64 86,64 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-08-31 1 1 86,97 86,97 86,97 86,97 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-01 1 1 87,74 87,74 87,74 87,74 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-02 1 1 87,64 87,64 87,64 87,64 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-05 1 1 88,27 88,27 88,27 88,27 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-06 1 1 88,83 88,83 88,83 88,83 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-07 1 1 89,15 89,15 89,15 89,15 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-08 1 1 88,78 88,78 88,78 88,78 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-09 1 1 89,41 89,41 89,41 89,41 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-12 1 1 89,73 89,73 89,73 89,73 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-13 1 1 89,39 89,39 89,39 89,39 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-14 1 1 89,92 89,92 89,92 89,92 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-15 1 1 89,62 89,62 89,62 89,62 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-16 1 1 89,66 89,66 89,66 89,66 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-19 1 1 90,12 90,12 90,12 90,12 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-20 1 1 89,87 89,87 89,87 89,87 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-21 1 1 89,41 89,41 89,41 89,41 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-22 1 1 89,19 89,19 89,19 89,19 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-23 1 1 89,44 89,44 89,44 89,44 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-26 1 1 90,53 90,53 90,53 90,53 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-27 1 1 90,86 90,86 90,86 90,86 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-28 1 1 91,47 91,47 91,47 91,47 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-29 1 1 91,46 91,46 91,46 91,46 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-09-30 1 1 92,29 92,29 92,29 92,29 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-03 1 1 92,82 92,82 92,82 92,82 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-04 1 1 92,78 92,78 92,78 92,78 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-05 1 1 92,16 92,16 92,16 92,16 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-06 1 1 91,18 91,18 91,18 91,18 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-07 1 1 91,07 91,07 91,07 91,07 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-10 1 1 91,47 91,47 91,47 91,47 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-11 1 1 91,65 91,65 91,65 91,65 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-12 1 1 90,91 90,91 90,91 90,91 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-13 1 1 89,7 89,7 89,7 89,7 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-14 1 1 89,72 89,72 89,72 89,72 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-17 1 1 89,69 89,69 89,69 89,69 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-18 1 1 89,23 89,23 89,23 89,23 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-19 1 1 87,87 87,87 87,87 87,87 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-20 1 1 88,42 88,42 88,42 88,42 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-21 1 1 87,46 87,46 87,46 87,46 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-24 1 1 88,6 88,6 88,6 88,6 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-25 1 1 89,42 89,42 89,42 89,42 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-26 1 1 89,75 89,75 89,75 89,75 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-27 1 1 89,02 89,02 89,02 89,02 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-28 1 1 88,6 88,6 88,6 88,6 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-10-31 1 1 90,75 90,75 90,75 90,75 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-01 1 1 91,12 91,12 91,12 91,12 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-02 1 1 91,24 91,24 91,24 91,24 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-03 1 1 92,47 92,47 92,47 92,47 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-04 1 1 92,35 92,35 92,35 92,35 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-07 1 1 92,76 92,76 92,76 92,76 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-08 1 1 92,66 92,66 92,66 92,66 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-09 1 1 92,68 92,68 92,68 92,68 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-10 1 1 93,06 93,06 93,06 93,06 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-11 1 1 93,86 93,86 93,86 93,86 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-14 1 1 94,28 94,28 94,28 94,28 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-15 1 1 93,75 93,75 93,75 93,75 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-16 1 1 93,8 93,8 93,8 93,8 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-17 1 1 94,28 94,28 94,28 94,28 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-18 1 1 94,56 94,56 94,56 94,56 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-21 1 1 94,63 94,63 94,63 94,63 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-22 1 1 94,86 94,86 94,86 94,86 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-23 1 1 94,9 94,9 94,9 94,9 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-24 1 1 94,57 94,57 94,57 94,57 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-25 1 1 94,87 94,87 94,87 94,87 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-28 1 1 95,03 95,03 95,03 95,03 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-29 1 1 95,1 95,1 95,1 95,1 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-11-30 1 1 94,27 94,27 94,27 94,27 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-01 1 1 95,32 95,32 95,32 95,32 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-02 1 1 96,23 96,23 96,23 96,23 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-05 1 1 96,23 96,23 96,23 96,23 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-06 1 1 96,64 96,64 96,64 96,64 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-07 1 1 96,64 96,64 96,64 96,64 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-08 1 1 96,7 96,7 96,7 96,7 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-12 1 1 96,97 96,97 96,97 96,97 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-13 1 1 96,83 96,83 96,83 96,83 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-14 1 1 96,59 96,59 96,59 96,59 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-15 1 1 96,57 96,57 96,57 96,57 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-16 1 1 96,81 96,81 96,81 96,81 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-19 1 1 97,14 97,14 97,14 97,14 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-20 1 1 97,05 97,05 97,05 97,05 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-21 1 1 97,79 97,79 97,79 97,79 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-22 1 1 98,09 98,09 98,09 98,09 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-23 1 1 99,02 99,02 99,02 99,02 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-27 1 1 99,57 99,57 99,57 99,57 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-28 1 1 99,42 99,42 99,42 99,42 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-29 1 1 99,8 99,8 99,8 99,8 833608 Folksam Fond AB (publ) Folksams Tjänstemannafond Sverige SEK 2005-12-30 1 1 99,36 99,36 99,36 99,36 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-03 1 1 55,98 55,98 55,98 55,98 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-04 1 1 56,09 56,09 56,09 56,09 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-05 1 1 56,08 56,08 56,08 56,08 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-07 1 1 56,49 56,49 56,49 56,49 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-10 1 1 56,77 56,77 56,77 56,77 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-11 1 1 56,46 56,46 56,46 56,46 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-12 1 1 56,44 56,44 56,44 56,44 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-13 1 1 56,31 56,31 56,31 56,31 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-14 1 1 56,59 56,59 56,59 56,59 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-17 1 1 56,89 56,89 56,89 56,89 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-18 1 1 56,92 56,92 56,92 56,92 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-19 1 1 56,97 56,97 56,97 56,97 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-20 1 1 56,67 56,67 56,67 56,67 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-21 1 1 56,74 56,74 56,74 56,74 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-24 1 1 56,31 56,31 56,31 56,31 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-25 1 1 56,64 56,64 56,64 56,64 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-26 1 1 56,98 56,98 56,98 56,98 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-27 1 1 56,57 56,57 56,57 56,57 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-28 1 1 57,03 57,03 57,03 57,03 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-01-31 1 1 57,35 57,35 57,35 57,35 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-01 1 1 57,44 57,44 57,44 57,44 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-02 1 1 57,51 57,51 57,51 57,51 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-03 1 1 57,58 57,58 57,58 57,58 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-04 1 1 58,03 58,03 58,03 58,03 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-07 1 1 58,85 58,85 58,85 58,85 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-08 1 1 59,11 59,11 59,11 59,11 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-09 1 1 58,99 58,99 58,99 58,99 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-10 1 1 58,81 58,81 58,81 58,81 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-11 1 1 58,81 58,81 58,81 58,81 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-14 1 1 59,03 59,03 59,03 59,03 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-15 1 1 58,97 58,97 58,97 58,97 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-16 1 1 58,69 58,69 58,69 58,69 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-17 1 1 58,87 58,87 58,87 58,87 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-18 1 1 58,64 58,64 58,64 58,64 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-21 1 1 58,79 58,79 58,79 58,79 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-22 1 1 58,07 58,07 58,07 58,07 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-23 1 1 57,57 57,57 57,57 57,57 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-24 1 1 57,39 57,39 57,39 57,39 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-25 1 1 58,11 58,11 58,11 58,11 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-02-28 1 1 58,16 58,16 58,16 58,16 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-01 1 1 58,39 58,39 58,39 58,39 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-02 1 1 58,44 58,44 58,44 58,44 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-03 1 1 58,86 58,86 58,86 58,86 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-04 1 1 58,96 58,96 58,96 58,96 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-07 1 1 58,91 58,91 58,91 58,91 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-08 1 1 58,68 58,68 58,68 58,68 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-09 1 1 58,04 58,04 58,04 58,04 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-10 1 1 57,72 57,72 57,72 57,72 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-11 1 1 56,71 56,71 56,71 56,71 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-14 1 1 56,27 56,27 56,27 56,27 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-15 1 1 56,96 56,96 56,96 56,96 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-16 1 1 56,43 56,43 56,43 56,43 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-17 1 1 56,04 56,04 56,04 56,04 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-18 1 1 56,4 56,4 56,4 56,4 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-21 1 1 56,92 56,92 56,92 56,92 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-22 1 1 56,93 56,93 56,93 56,93 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-23 1 1 56,49 56,49 56,49 56,49 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-24 1 1 56,98 56,98 56,98 56,98 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-29 1 1 57,06 57,06 57,06 57,06 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-30 1 1 56,91 56,91 56,91 56,91 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-03-31 1 1 57,56 57,56 57,56 57,56 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-01 1 1 57,87 57,87 57,87 57,87 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-04 1 1 57,47 57,47 57,47 57,47 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-05 1 1 58,22 58,22 58,22 58,22 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-06 1 1 58,19 58,19 58,19 58,19 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-07 1 1 57,97 57,97 57,97 57,97 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-08 1 1 58,68 58,68 58,68 58,68 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-11 1 1 57,99 57,99 57,99 57,99 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-12 1 1 57,47 57,47 57,47 57,47 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-13 1 1 57,97 57,97 57,97 57,97 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-14 1 1 57,9 57,9 57,9 57,9 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-15 1 1 57,52 57,52 57,52 57,52 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-18 1 1 55,95 55,95 55,95 55,95 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-19 1 1 56,32 56,32 56,32 56,32 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-20 1 1 56,09 56,09 56,09 56,09 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-21 1 1 55,9 55,9 55,9 55,9 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-22 1 1 56,18 56,18 56,18 56,18 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-25 1 1 56,47 56,47 56,47 56,47 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-26 1 1 56,36 56,36 56,36 56,36 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-27 1 1 56,1 56,1 56,1 56,1 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-28 1 1 56,16 56,16 56,16 56,16 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-04-29 1 1 56,22 56,22 56,22 56,22 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-02 1 1 57,2 57,2 57,2 57,2 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-03 1 1 57,43 57,43 57,43 57,43 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-04 1 1 57,04 57,04 57,04 57,04 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-06 1 1 57,55 57,55 57,55 57,55 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-09 1 1 57,87 57,87 57,87 57,87 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-10 1 1 57,79 57,79 57,79 57,79 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-11 1 1 57,48 57,48 57,48 57,48 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-12 1 1 58,17 58,17 58,17 58,17 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-13 1 1 57,81 57,81 57,81 57,81 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-16 1 1 58,01 58,01 58,01 58,01 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-17 1 1 58,2 58,2 58,2 58,2 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-18 1 1 58,66 58,66 58,66 58,66 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-19 1 1 58,88 58,88 58,88 58,88 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-20 1 1 59,07 59,07 59,07 59,07 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-23 1 1 59,48 59,48 59,48 59,48 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-24 1 1 59,42 59,42 59,42 59,42 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-25 1 1 59,3 59,3 59,3 59,3 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-26 1 1 59,65 59,65 59,65 59,65 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-27 1 1 59,9 59,9 59,9 59,9 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-30 1 1 60,05 60,05 60,05 60,05 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-05-31 1 1 60,24 60,24 60,24 60,24 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-01 1 1 60,5 60,5 60,5 60,5 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-02 1 1 61,12 61,12 61,12 61,12 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-03 1 1 60,98 60,98 60,98 60,98 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-07 1 1 61,27 61,27 61,27 61,27 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-08 1 1 61,1 61,1 61,1 61,1 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-09 1 1 61,36 61,36 61,36 61,36 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-10 1 1 61,76 61,76 61,76 61,76 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-13 1 1 62,36 62,36 62,36 62,36 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-14 1 1 62,83 62,83 62,83 62,83 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-15 1 1 63,17 63,17 63,17 63,17 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-16 1 1 63,13 63,13 63,13 63,13 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-17 1 1 63,43 63,43 63,43 63,43 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-20 1 1 62,51 62,51 62,51 62,51 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-21 1 1 63,28 63,28 63,28 63,28 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-22 1 1 63,36 63,36 63,36 63,36 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-23 1 1 64,16 64,16 64,16 64,16 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-27 1 1 63,19 63,19 63,19 63,19 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-28 1 1 63,7 63,7 63,7 63,7 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-29 1 1 64,43 64,43 64,43 64,43 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-06-30 1 1 64,45 64,45 64,45 64,45 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-01 1 1 64,36 64,36 64,36 64,36 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-04 1 1 64,99 64,99 64,99 64,99 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-05 1 1 64,94 64,94 64,94 64,94 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-06 1 1 65,07 65,07 65,07 65,07 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-07 1 1 63,96 63,96 63,96 63,96 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-08 1 1 64,79 64,79 64,79 64,79 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-11 1 1 65,44 65,44 65,44 65,44 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-12 1 1 64,89 64,89 64,89 64,89 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-13 1 1 64,53 64,53 64,53 64,53 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-14 1 1 65,17 65,17 65,17 65,17 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-15 1 1 64,94 64,94 64,94 64,94 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-18 1 1 64,96 64,96 64,96 64,96 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-19 1 1 65,78 65,78 65,78 65,78 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-20 1 1 65,44 65,44 65,44 65,44 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-21 1 1 65,53 65,53 65,53 65,53 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-22 1 1 65,43 65,43 65,43 65,43 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-25 1 1 66,09 66,09 66,09 66,09 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-26 1 1 65,8 65,8 65,8 65,8 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-27 1 1 66,59 66,59 66,59 66,59 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-28 1 1 66,49 66,49 66,49 66,49 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-07-29 1 1 66,08 66,08 66,08 66,08 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-01 1 1 65,76 65,76 65,76 65,76 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-02 1 1 65,8 65,8 65,8 65,8 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-03 1 1 65,83 65,83 65,83 65,83 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-04 1 1 65,2 65,2 65,2 65,2 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-05 1 1 64,39 64,39 64,39 64,39 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-08 1 1 64,45 64,45 64,45 64,45 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-09 1 1 64,45 64,45 64,45 64,45 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-10 1 1 65,21 65,21 65,21 65,21 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-11 1 1 64,88 64,88 64,88 64,88 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-12 1 1 64,42 64,42 64,42 64,42 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-15 1 1 64,71 64,71 64,71 64,71 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-16 1 1 64,89 64,89 64,89 64,89 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-17 1 1 64,91 64,91 64,91 64,91 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-18 1 1 64,79 64,79 64,79 64,79 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-19 1 1 65,56 65,56 65,56 65,56 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-22 1 1 65,94 65,94 65,94 65,94 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-23 1 1 65,35 65,35 65,35 65,35 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-24 1 1 65,09 65,09 65,09 65,09 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-25 1 1 64,27 64,27 64,27 64,27 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-26 1 1 64,12 64,12 64,12 64,12 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-29 1 1 63,83 63,83 63,83 63,83 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-30 1 1 64,39 64,39 64,39 64,39 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-08-31 1 1 64,76 64,76 64,76 64,76 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-01 1 1 64,84 64,84 64,84 64,84 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-02 1 1 64,14 64,14 64,14 64,14 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-05 1 1 63,98 63,98 63,98 63,98 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-06 1 1 64,72 64,72 64,72 64,72 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-07 1 1 64,65 64,65 64,65 64,65 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-08 1 1 65,04 65,04 65,04 65,04 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-09 1 1 65,46 65,46 65,46 65,46 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-12 1 1 65,98 65,98 65,98 65,98 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-13 1 1 65,75 65,75 65,75 65,75 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-14 1 1 65,96 65,96 65,96 65,96 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-15 1 1 66,36 66,36 66,36 66,36 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-16 1 1 66,21 66,21 66,21 66,21 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-19 1 1 66,81 66,81 66,81 66,81 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-20 1 1 66,95 66,95 66,95 66,95 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-21 1 1 66,14 66,14 66,14 66,14 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-22 1 1 65,78 65,78 65,78 65,78 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-23 1 1 66,3 66,3 66,3 66,3 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-26 1 1 67,32 67,32 67,32 67,32 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-27 1 1 67,41 67,41 67,41 67,41 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-28 1 1 67,65 67,65 67,65 67,65 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-29 1 1 67,49 67,49 67,49 67,49 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-09-30 1 1 67,72 67,72 67,72 67,72 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-03 1 1 68,01 68,01 68,01 68,01 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-04 1 1 68 68 68 68 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-05 1 1 67,45 67,45 67,45 67,45 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-06 1 1 65,77 65,77 65,77 65,77 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-07 1 1 65,52 65,52 65,52 65,52 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-10 1 1 65,57 65,57 65,57 65,57 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-11 1 1 66,2 66,2 66,2 66,2 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-12 1 1 66,15 66,15 66,15 66,15 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-13 1 1 65,54 65,54 65,54 65,54 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-14 1 1 65,81 65,81 65,81 65,81 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-17 1 1 66,23 66,23 66,23 66,23 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-18 1 1 66,34 66,34 66,34 66,34 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-19 1 1 65,78 65,78 65,78 65,78 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-20 1 1 66,5 66,5 66,5 66,5 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-21 1 1 65,71 65,71 65,71 65,71 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-24 1 1 66,69 66,69 66,69 66,69 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-25 1 1 67,17 67,17 67,17 67,17 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-26 1 1 66,42 66,42 66,42 66,42 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-27 1 1 66,1 66,1 66,1 66,1 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-28 1 1 65,53 65,53 65,53 65,53 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-10-31 1 1 67,26 67,26 67,26 67,26 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-01 1 1 67,71 67,71 67,71 67,71 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-02 1 1 67,99 67,99 67,99 67,99 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-03 1 1 69,18 69,18 69,18 69,18 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-04 1 1 69,2 69,2 69,2 69,2 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-07 1 1 69,82 69,82 69,82 69,82 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-08 1 1 69,97 69,97 69,97 69,97 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-09 1 1 69,63 69,63 69,63 69,63 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-10 1 1 70,09 70,09 70,09 70,09 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-11 1 1 71,13 71,13 71,13 71,13 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-14 1 1 70,41 70,41 70,41 70,41 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-15 1 1 70,5 70,5 70,5 70,5 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-16 1 1 70,63 70,63 70,63 70,63 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-17 1 1 71,51 71,51 71,51 71,51 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-18 1 1 71,82 71,82 71,82 71,82 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-21 1 1 71,17 71,17 71,17 71,17 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-22 1 1 71,45 71,45 71,45 71,45 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-23 1 1 71,17 71,17 71,17 71,17 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-24 1 1 71,33 71,33 71,33 71,33 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-25 1 1 71,64 71,64 71,64 71,64 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-28 1 1 71,7 71,7 71,7 71,7 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-29 1 1 71,17 71,17 71,17 71,17 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-11-30 1 1 71,36 71,36 71,36 71,36 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-01 1 1 71,71 71,71 71,71 71,71 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-02 1 1 72,18 72,18 72,18 72,18 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-05 1 1 71,76 71,76 71,76 71,76 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-06 1 1 71,5 71,5 71,5 71,5 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-07 1 1 71,76 71,76 71,76 71,76 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-08 1 1 70,99 70,99 70,99 70,99 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-12 1 1 71,49 71,49 71,49 71,49 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-13 1 1 71,16 71,16 71,16 71,16 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-14 1 1 71,07 71,07 71,07 71,07 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-15 1 1 71,17 71,17 71,17 71,17 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-16 1 1 71,61 71,61 71,61 71,61 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-19 1 1 71,34 71,34 71,34 71,34 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-20 1 1 70,84 70,84 70,84 70,84 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-21 1 1 72,17 72,17 72,17 72,17 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-22 1 1 72,33 72,33 72,33 72,33 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-23 1 1 72,38 72,38 72,38 72,38 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-27 1 1 72,97 72,97 72,97 72,97 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-28 1 1 71,99 71,99 71,99 71,99 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-29 1 1 72,14 72,14 72,14 72,14 797779 Folksam Fond AB (publ) Folksams Tjänstemannafond Världen SEK 2005-12-30 1 1 71,8 71,8 71,8 71,8 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-03 9,0065 9,0015 24,1688 24,1688 217,6762972 217,5554532 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-04 9,0345 9,0295 24,2041 24,2041 218,67194145 218,55092095 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-05 9,0615 9,0565 23,9778 23,9778 217,2748347 217,1549457 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-07 9,0615 9,0565 24,1873 24,1873 219,17321895 219,05228245 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-10 9,08619 9,08119 24,4044 24,4044 221,743015236 221,620993236 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-11 9,08619 9,08119 24,3745 24,3745 221,471338155 221,349465655 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-12 9,0455 9,0405 24,2405 24,2405 219,26744275 219,14624025 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-13 9,0505 9,0455 24,1148 24,1148 218,2509974 218,1304234 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-14 9,0455 9,0405 24,1449 24,1449 218,40269295 218,28196845 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-17 9,0685 9,0635 24,2279 24,2279 219,71071115 219,58957165 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-18 9,0585 9,0535 24,1242 24,1242 218,5290657 218,4084447 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-19 9,0225 9,0175 24,2998 24,2998 219,2449455 219,1234465 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-20 9,0315 9,0265 24,0031 24,0031 216,78399765 216,66398215 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-21 9,0505 9,0455 23,8784 23,8784 216,1114592 215,9920672 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-24 9,0655 9,0605 23,7129 23,7129 214,96929495 214,85073045 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-25 9,0715 9,0665 23,8078 23,8078 215,9724577 215,8534187 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-26 9,0885 9,0835 23,9766 23,9766 217,9113291 217,7914461 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-27 9,0675 9,0625 24,2304 24,2304 219,709152 219,588 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-01-28 9,0955 9,0905 24,2095 24,2095 220,19750725 220,07645975 202002 Fondbolaget Fondita Ab Fondita 2000+ 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Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-10 9,0805 9,0755 25,1376 25,1376 228,2619768 228,1362888 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-11 9,0935 9,0885 25,171 25,171 228,8924885 228,7666335 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-14 9,1105 9,1055 25,1651 25,1651 229,26664355 229,14081805 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-15 9,0765 9,0715 25,2201 25,2201 228,91023765 228,78413715 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-16 9,0705 9,0655 25,0794 25,0794 227,4826977 227,3573007 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-17 9,0925 9,0875 24,9827 24,9827 227,15519975 227,03028625 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-18 9,0945 9,0895 24,9796 24,9796 227,1769722 227,0520742 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-21 9,1185 9,1135 24,9307 24,9307 227,33058795 227,20593445 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-22 9,0975 9,0925 24,8288 24,8288 225,880008 225,755864 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-23 9,1045 9,0995 24,8414 24,8414 226,1685263 226,0443193 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-24 9,0715 9,0665 24,8273 24,8273 225,22085195 225,09671545 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-25 9,0845 9,0795 25,0676 25,0676 227,7266122 227,6012742 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-02-28 9,0505 9,0455 25,0582 25,0582 226,7892391 226,6639481 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-01 9,0565 9,0515 25,153 25,153 227,7981445 227,6723795 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-02 9,0645 9,0595 25,4098 25,4098 230,3271321 230,2000831 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-03 9,0675 9,0625 25,396 25,396 230,27823 230,15125 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-04 9,0415 9,0365 25,3225 25,3225 228,95338375 228,82677125 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-07 9,0425 9,0375 25,3288 25,3288 229,035674 228,90903 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-08 9,0345 9,0295 25,2892 25,2892 228,4752774 228,3488314 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-09 9,0365 9,0315 25,404 25,404 229,563246 229,436226 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-10 9,0655 9,0605 25,245 25,245 228,8585475 228,7323225 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-11 9,0795 9,0745 25,2741 25,2741 229,47619095 229,34982045 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-14 9,0695 9,0645 25,1524 25,1524 228,1196918 227,9939298 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-15 9,1035 9,0985 25,3455 25,3455 230,73275925 230,60603175 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-16 9,0975 9,0925 25,2232 25,2232 229,468062 229,341946 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-17 9,1045 9,0995 25,0234 25,0234 227,8255453 227,7004283 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-18 9,1035 9,0985 25,1284 25,1284 228,7563894 228,6307474 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-21 9,1265 9,1215 25,0195 25,0195 228,34046675 228,21536925 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-22 9,1265 9,1215 24,9686 24,9686 227,8759279 227,7510849 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-23 9,1165 9,1115 24,7875 24,7875 225,97524375 225,85130625 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-24 9,1135 9,1085 25,1159 25,1159 228,89375465 228,76817515 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-29 9,1315 9,1265 25,1994 25,1994 230,1083211 229,9823241 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-30 9,1425 9,1375 25,1182 25,1182 229,6431435 229,5175525 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-03-31 9,1405 9,1355 25,3134 25,3134 231,3771327 231,2505657 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-01 9,1645 9,1595 25,3521 25,3521 232,33932045 232,21255995 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-04 9,1695 9,1645 25,1929 25,1929 231,00629655 230,88033205 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-05 9,1745 9,1695 25,4287 25,4287 233,29560815 233,16846465 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-06 9,1705 9,1655 25,6305 25,6305 235,04450025 234,91634775 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-07 9,1505 9,1455 25,7611 25,7611 235,72694555 235,59814005 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-08 9,1625 9,1575 25,9143 25,9143 237,43977375 237,31020225 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-11 9,1705 9,1655 25,7065 25,7065 235,74145825 235,61292575 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-12 9,1525 9,1475 25,7111 25,7111 235,32084275 235,19228725 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-13 9,1495 9,1445 25,8279 25,8279 236,31237105 236,18323155 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-14 9,1685 9,1635 25,8789 25,8789 237,27069465 237,14130015 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-15 9,1925 9,1875 25,489 25,489 234,3076325 234,1801875 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-18 9,1805 9,1755 24,8841 24,8841 228,44848005 228,32405955 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-19 9,2035 9,1985 25,1606 25,1606 231,5655821 231,4397791 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-20 9,1915 9,1865 25,1608 25,1608 231,2654932 231,1396892 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-21 9,1855 9,1805 25,0988 25,0988 230,5450274 230,4195334 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-22 9,1625 9,1575 25,3687 25,3687 232,44071375 232,31387025 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-25 9,1685 9,1635 25,2794 25,2794 231,7741789 231,6477819 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-26 9,1375 9,1325 25,2217 25,2217 230,46328375 230,33717525 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-27 9,1465 9,1415 25,0095 25,0095 228,74939175 228,62434425 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-28 9,1505 9,1455 24,7998 24,7998 226,9305699 226,8065709 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-04-29 9,1705 9,1655 24,5592 24,5592 225,2201436 225,0973476 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-02 9,1935 9,1885 24,799 24,799 227,9896065 227,8656115 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-03 9,2245 9,2195 24,8978 24,8978 229,6697561 229,5452671 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-04 9,1915 9,1865 24,9842 24,9842 229,6422743 229,5173533 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-06 9,1715 9,1665 25,2909 25,2909 231,95548935 231,82903485 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-09 9,1815 9,1765 25,4795 25,4795 233,94002925 233,81263175 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-10 9,1985 9,1935 25,3728 25,3728 233,3917008 233,2648368 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-11 9,2105 9,2055 25,1812 25,1812 231,9314426 231,8055366 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-12 9,2315 9,2265 25,3862 25,3862 234,3527053 234,2257743 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-13 9,2045 9,1995 25,4427 25,4427 234,18733215 234,06011865 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-16 9,2145 9,2095 25,5621 25,5621 235,54197045 235,41415995 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-17 9,2325 9,2275 25,6726 25,6726 237,0222795 236,8939165 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-18 9,2095 9,2045 25,9404 25,9404 238,8981138 238,7684118 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-19 9,1905 9,1855 26,1367 26,1367 240,20934135 240,07865785 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-20 9,1955 9,1905 26,214 26,214 241,050837 240,919767 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-23 9,1805 9,1755 26,2655 26,2655 241,13042275 240,99909525 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-24 9,1815 9,1765 26,2939 26,2939 241,41744285 241,28597335 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-25 9,1785 9,1735 26,3471 26,3471 241,82685735 241,69512185 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-26 9,1945 9,1895 26,5204 26,5204 243,8418178 243,7092158 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-27 9,1955 9,1905 26,5595 26,5595 244,22788225 244,09508475 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-30 9,1905 9,1855 26,5831 26,5831 244,31198055 244,17906505 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-05-31 9,1665 9,1615 26,7391 26,7391 245,10396015 244,97026465 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-01 9,1455 9,1405 26,8006 26,8006 245,1048873 244,9708843 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-02 9,1565 9,1515 26,7863 26,7863 245,26875595 245,13482445 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-03 9,1315 9,1265 26,8437 26,8437 245,12324655 244,98902805 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-07 9,1455 9,1405 26,7401 26,7401 244,55158455 244,41788405 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-08 9,1455 9,1405 26,8862 26,8862 245,8877421 245,7533111 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-09 9,1965 9,1915 26,7791 26,7791 246,27399315 246,14009765 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-10 9,1975 9,1925 26,953 26,953 247,9002175 247,7654525 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-13 9,2365 9,2315 27,0965 27,0965 250,27682225 250,14133975 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-14 9,2985 9,2935 27,0863 27,0863 251,86196055 251,72652905 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-15 9,2695 9,2645 27,2166 27,2166 252,2842737 252,1481907 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-16 9,2695 9,2645 27,2443 27,2443 252,54103885 252,40481735 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-17 9,2695 9,2645 27,3304 27,3304 253,3391428 253,2024908 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-20 9,2255 9,2205 27,3652 27,3652 252,4576526 252,3208266 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-21 9,2725 9,2675 27,4903 27,4903 254,90380675 254,76635525 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-22 9,2615 9,2565 27,5926 27,5926 255,5488649 255,4109019 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-23 9,3535 9,3485 27,5586 27,5586 257,7693651 257,6315721 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-27 9,3855 9,3805 27,0447 27,0447 253,82803185 253,69280835 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-28 9,3995 9,3945 27,0036 27,0036 253,8203382 253,6853202 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-29 9,4215 9,4165 27,0787 27,0787 255,12197205 254,98657855 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-06-30 9,4415 9,4365 27,089 27,089 255,7607935 255,6253485 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-01 9,4595 9,4545 27,001 27,001 255,4159595 255,2809545 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-04 9,4795 9,4745 27,1079 27,1079 256,96933805 256,83379855 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-05 9,4575 9,4525 27,2071 27,2071 257,31114825 257,17511275 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-06 9,4195 9,4145 27,3936 27,3936 258,0340152 257,8970472 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-07 9,3965 9,3915 26,9047 26,9047 252,81001355 252,67549005 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-08 9,4175 9,4125 27,3289 27,3289 257,36991575 257,23327125 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-11 9,4665 9,4615 27,5697 27,5697 260,98856505 260,85071655 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-12 9,4645 9,4595 27,46 27,46 259,89517 259,75787 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-13 9,3915 9,3865 27,6635 27,6635 259,80176025 259,66344275 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-14 9,3675 9,3625 27,8672 27,8672 261,045996 260,90666 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-15 9,4055 9,4005 27,8351 27,8351 261,80303305 261,66385755 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-18 9,3895 9,3845 27,862 27,862 261,610249 261,470939 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-19 9,4425 9,4375 27,7539 27,7539 262,06620075 261,92743125 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-20 9,4265 9,4215 27,7642 27,7642 261,7192313 261,5804103 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-21 9,4625 9,4575 27,7677 27,7677 262,75186125 262,61302275 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-22 9,4495 9,4445 27,7949 27,7949 262,64790755 262,50893305 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-25 9,4275 9,4225 27,8641 27,8641 262,68880275 262,54948225 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-26 9,4155 9,4105 27,8324 27,8324 262,0559622 261,9168002 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-27 9,4725 9,4675 27,9494 27,9494 264,7506915 264,6109445 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-28 9,4515 9,4465 28,1597 28,1597 266,15140455 266,01060605 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-07-29 9,3885 9,3835 28,1817 28,1817 264,58389045 264,44298195 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-01 9,3985 9,3935 28,1435 28,1435 264,50668475 264,36596725 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-02 9,3995 9,3945 28,2613 28,2613 265,64208935 265,50078285 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-03 9,3755 9,3705 28,3975 28,3975 266,24076125 266,09877375 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-04 9,3735 9,3685 28,2719 28,2719 265,00665465 264,86529515 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-05 9,3355 9,3305 28,1688 28,1688 262,9698324 262,8289884 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-08 9,3335 9,3285 28,2414 28,2414 263,5911069 263,4498999 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-09 9,3455 9,3405 28,1479 28,1479 263,05619945 262,91545995 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-10 9,3535 9,3485 28,2792 28,2792 264,5094972 264,3681012 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-11 9,3365 9,3315 28,2043 28,2043 263,32944695 263,18842545 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-12 9,3025 9,2975 28,2259 28,2259 262,57143475 262,43030525 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-15 9,3065 9,3015 28,1075 28,1075 261,58244875 261,44191125 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-16 9,2995 9,2945 28,1935 28,1935 262,18545325 262,04448575 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-17 9,3405 9,3355 28,1129 28,1129 262,58854245 262,44797795 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-18 9,3365 9,3315 28,2581 28,2581 263,83175065 263,69046015 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-19 9,3395 9,3345 28,2315 28,2315 263,66809425 263,52693675 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-22 9,3655 9,3605 28,2495 28,2495 264,57069225 264,42944475 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-23 9,3715 9,3665 28,1037 28,1037 263,37382455 263,23330605 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-24 9,3365 9,3315 27,9338 27,9338 260,8039237 260,6642547 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-25 9,3335 9,3285 27,6918 27,6918 258,4614153 258,3229563 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-26 9,3415 9,3365 27,9093 27,9093 260,71472595 260,57517945 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-29 9,3295 9,3245 27,7212 27,7212 258,6249354 258,4863294 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-30 9,3285 9,3235 28,033 28,033 261,5058405 261,3656755 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-08-31 9,3585 9,3535 28,2705 28,2705 264,56947425 264,42812175 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-01 9,3365 9,3315 28,4338 28,4338 265,4721737 265,3300047 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-02 9,3025 9,2975 28,3105 28,3105 263,35842625 263,21687375 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-05 9,2845 9,2795 28,3823 28,3823 263,51546435 263,37355285 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-06 9,3225 9,3175 28,5794 28,5794 266,4314565 266,2885595 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-07 9,3075 9,3025 28,7252 28,7252 267,359799 267,216173 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-08 9,3255 9,3205 28,7642 28,7642 268,2405471 268,0967261 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-09 9,3445 9,3395 28,8013 28,8013 269,13374785 268,98974135 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-12 9,3015 9,2965 29,0696 29,0696 270,3908844 270,2455364 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-13 9,3015 9,2965 29,0829 29,0829 270,51459435 270,36917985 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-14 9,3365 9,3315 29,0002 29,0002 270,7603673 270,6153663 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-15 9,3425 9,3375 28,9837 28,9837 270,78021725 270,63529875 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-16 9,3465 9,3415 29,0136 29,0136 271,1756124 271,0305444 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-19 9,3355 9,3305 29,1575 29,1575 272,19984125 272,05405375 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-20 9,3395 9,3345 29,1707 29,1707 272,43975265 272,29389915 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-21 9,3405 9,3355 29,0426 29,0426 271,2724053 271,1271923 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-22 9,3405 9,3355 28,9719 28,9719 270,61203195 270,46717245 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-23 9,3695 9,3645 29,0692 29,0692 272,3638694 272,2185234 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-26 9,3815 9,3765 29,2967 29,2967 274,84699105 274,70050755 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-27 9,3885 9,3835 29,3098 29,3098 275,1750573 275,0285083 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-28 9,3935 9,3885 29,1591 29,1591 273,90600585 273,76021035 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-29 9,3845 9,3795 29,2763 29,2763 274,74343735 274,59705585 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-09-30 9,3435 9,3385 29,455 29,455 275,2127925 275,0655175 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-03 9,3025 9,2975 29,5768 29,5768 275,138182 274,990298 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-04 9,3185 9,3135 29,6232 29,6232 276,0437892 275,8956732 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-05 9,3105 9,3055 29,7584 29,7584 277,0655832 276,9167912 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-06 9,3015 9,2965 29,2229 29,2229 271,81680435 271,67068985 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-07 9,3385 9,3335 29,1893 29,1893 272,58427805 272,43833155 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-10 9,3465 9,3415 29,398 29,398 274,768407 274,621417 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-11 9,3395 9,3345 29,486 29,486 275,384497 275,237067 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-12 9,3375 9,3325 29,2946 29,2946 273,5383275 273,3918545 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-13 9,3815 9,3765 28,8983 28,8983 271,10940145 270,96490995 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-14 9,4135 9,4085 28,6708 28,6708 269,8925758 269,7492218 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-17 9,4575 9,4525 28,6597 28,6597 271,04911275 270,90581425 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-18 9,4625 9,4575 28,7544 28,7544 272,08851 271,944738 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-19 9,4605 9,4555 28,0155 28,0155 265,04063775 264,90056025 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-20 9,4935 9,4885 28,1751 28,1751 267,48031185 267,33943635 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-21 9,4915 9,4865 27,5872 27,5872 261,8439088 261,7059728 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-24 9,5455 9,5405 27,9122 27,9122 266,4359051 266,2963441 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-25 9,5465 9,5415 28,0546 28,0546 267,8232389 267,6829659 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-26 9,4975 9,4925 27,9736 27,9736 265,679266 265,539398 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-27 9,5355 9,5305 27,7845 27,7845 264,93909975 264,80017725 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-28 9,5135 9,5085 27,6006 27,6006 262,5783081 262,4403051 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-10-31 9,5495 9,5445 28,0421 28,0421 267,78803395 267,64782345 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-01 9,5495 9,5445 28,3269 28,3269 270,50773155 270,36609705 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-02 9,5855 9,5805 28,3135 28,3135 271,39905425 271,25748675 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-03 9,6515 9,6465 28,5392 28,5392 275,4460888 275,3033928 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-04 9,5875 9,5825 28,7737 28,7737 275,86784875 275,72398025 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-07 9,6075 9,6025 28,9184 28,9184 277,833528 277,688936 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-08 9,5685 9,5635 28,9922 28,9922 277,4118657 277,2669047 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-09 9,5575 9,5525 28,8464 28,8464 275,699468 275,555236 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-10 9,6105 9,6055 28,8742 28,8742 277,4954991 277,3511281 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-11 9,6365 9,6315 28,9773 28,9773 279,23975145 279,09486495 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-14 9,5505 9,5455 29,042 29,042 277,365621 277,220411 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-15 9,5805 9,5755 28,9354 28,9354 277,2155997 277,0709227 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-16 9,6235 9,6185 28,7695 28,7695 276,86328325 276,71943575 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-17 9,6355 9,6305 28,7755 28,7755 277,26633025 277,12245275 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-18 9,6085 9,6035 29,015 29,015 278,7906275 278,6455525 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-21 9,5915 9,5865 28,9959 28,9959 278,11417485 277,96919535 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-22 9,5585 9,5535 29,1317 29,1317 278,45535445 278,30969595 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-23 9,5155 9,5105 29,0005 29,0005 275,95425775 275,80925525 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-24 9,5125 9,5075 28,8063 28,8063 274,01992875 273,87589725 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-25 9,4965 9,4915 28,8199 28,8199 273,68818035 273,54408085 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-28 9,4835 9,4785 28,9532 28,9532 274,5776722 274,4329062 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-29 9,4785 9,4735 28,6395 28,6395 271,45950075 271,31630325 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-11-30 9,5295 9,5245 28,6085 28,6085 272,62470075 272,48165825 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-01 9,5165 9,5115 28,7386 28,7386 273,4908869 273,3471939 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-02 9,4905 9,4855 29,364 29,364 278,679042 278,532222 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-05 9,4065 9,4015 29,3439 29,3439 276,02339535 275,87667585 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-07 9,4255 9,4205 29,5743 29,5743 278,75256465 278,60469315 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-08 9,3965 9,3915 29,5004 29,5004 277,2005086 277,0530066 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-12 9,4315 9,4265 29,4877 29,4877 278,11324255 277,96580405 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-13 9,4295 9,4245 29,4004 29,4004 277,2310718 277,0840698 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-14 9,4365 9,4315 29,3163 29,3163 276,64326495 276,49668345 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-15 9,4345 9,4295 29,2721 29,2721 276,16762745 276,02126695 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-16 9,4765 9,4715 29,3652 29,3652 278,2793178 278,1324918 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-19 9,4535 9,4485 29,4073 29,4073 278,00191055 277,85487405 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-20 9,4015 9,3965 29,5405 29,5405 277,72501075 277,57730825 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-21 9,4485 9,4435 29,6066 29,6066 279,7379601 279,5899271 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-22 9,4365 9,4315 29,6337 29,6337 279,63841005 279,49024155 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-23 9,4425 9,4375 29,6462 29,6462 279,9342435 279,7860125 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-27 9,4915 9,4865 29,8408 29,8408 283,2339532 283,0847492 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-28 9,4345 9,4295 29,8028 29,8028 281,1745166 281,0255026 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-29 9,4115 9,4065 29,9136 29,9136 281,5318464 281,3822784 202002 Fondbolaget Fondita Ab Fondita 2000+ Placeringsfond EUR 2005-12-30 9,4325 9,4275 29,8738 29,8738 281,7846185 281,6352495 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-03 9,0065 9,0015 47,729 47,729 429,8712385 429,6325935 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-04 9,0345 9,0295 47,7606 47,7606 431,4931407 431,2543377 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-05 9,0615 9,0565 47,5153 47,5153 430,55989095 430,32231445 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-07 9,0615 9,0565 47,8161 47,8161 433,28559015 433,04650965 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-10 9,08619 9,08119 48,2133 48,2133 438,075204327 437,834137827 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-11 9,08619 9,08119 47,9841 47,9841 435,992649579 435,752729079 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-12 9,0455 9,0405 47,759 47,759 432,0040345 431,7652395 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-13 9,0505 9,0455 47,7612 47,7612 432,2627406 432,0239346 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-14 9,0455 9,0405 47,858 47,858 432,899539 432,660249 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-17 9,0685 9,0635 48,1134 48,1134 436,3163679 436,0758009 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-18 9,0585 9,0535 48,0852 48,0852 435,5797842 435,3393582 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-19 9,0225 9,0175 48,2418 48,2418 435,2616405 435,0204315 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-20 9,0315 9,0265 47,5027 47,5027 429,02063505 428,78312155 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-21 9,0505 9,0455 47,5786 47,5786 430,6101193 430,3722263 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-24 9,0655 9,0605 47,3378 47,3378 429,1408259 428,9041369 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-25 9,0715 9,0665 47,4039 47,4039 430,02447885 429,78745935 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-26 9,0885 9,0835 47,4802 47,4802 431,5237977 431,2863967 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-27 9,0675 9,0625 48,0607 48,0607 435,79039725 435,55009375 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-28 9,0955 9,0905 47,937 47,937 436,0109835 435,7712985 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-01-31 9,1075 9,1025 47,9219 47,9219 436,44870425 436,20909475 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-01 9,1035 9,0985 48,2078 48,2078 438,8597073 438,6186683 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-02 9,0905 9,0855 48,9735 48,9735 445,19360175 444,94873425 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-03 9,0695 9,0645 49,364 49,364 447,706798 447,459978 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-04 9,0895 9,0845 49,9131 49,9131 453,68512245 453,43555695 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-07 9,0755 9,0705 50,4259 50,4259 457,64025545 457,38812595 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-08 9,0895 9,0845 50,608 50,608 460,001416 459,748376 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-09 9,0695 9,0645 50,4743 50,4743 457,77666385 457,52429235 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-10 9,0805 9,0755 49,9613 49,9613 453,67358465 453,42377815 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-11 9,0935 9,0885 50,1719 50,1719 456,23817265 455,98731315 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-14 9,1105 9,1055 50,2791 50,2791 458,06774055 457,81634505 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-15 9,0765 9,0715 50,9075 50,9075 462,06192375 461,80738625 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-16 9,0705 9,0655 51,1947 51,1947 464,36152635 464,10555285 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-17 9,0925 9,0875 51,365 51,365 467,0362625 466,7794375 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-18 9,0945 9,0895 51,595 51,595 469,2307275 468,9727525 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-21 9,1185 9,1135 51,5551 51,5551 470,10517935 469,84740385 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-22 9,0975 9,0925 51,2359 51,2359 466,11860025 465,86242075 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-23 9,1045 9,0995 51,1889 51,1889 466,04934005 465,79339555 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-24 9,0715 9,0665 51,3105 51,3105 465,46320075 465,20664825 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-25 9,0845 9,0795 51,7822 51,7822 470,4153959 470,1564849 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-02-28 9,0505 9,0455 52,1072 52,1072 471,5962136 471,3356776 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-01 9,0565 9,0515 51,9959 51,9959 470,90086835 470,64088885 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-02 9,0645 9,0595 52,1818 52,1818 473,0019261 472,7410171 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-03 9,0675 9,0625 52,1443 52,1443 472,81844025 472,55771875 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-04 9,0415 9,0365 52,2955 52,2955 472,82976325 472,56828575 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-07 9,0425 9,0375 52,8139 52,8139 477,56969075 477,30562125 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-08 9,0345 9,0295 52,6483 52,6483 475,65106635 475,38782485 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-09 9,0365 9,0315 52,8859 52,8859 477,90343535 477,63900585 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-10 9,0655 9,0605 52,4074 52,4074 475,0992847 474,8372477 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-11 9,0795 9,0745 52,3766 52,3766 475,5533397 475,2914567 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-14 9,0695 9,0645 52,5004 52,5004 476,1523778 475,8898758 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-15 9,1035 9,0985 52,6176 52,6176 479,0043216 478,7412336 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-16 9,0975 9,0925 52,416 52,416 476,85456 476,59248 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-17 9,1045 9,0995 51,8285 51,8285 471,87257825 471,61343575 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-18 9,1035 9,0985 51,8635 51,8635 472,13937225 471,88005475 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-21 9,1265 9,1215 51,6254 51,6254 471,1592131 470,9010861 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-22 9,1265 9,1215 51,4916 51,4916 469,9380874 469,6806294 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-23 9,1165 9,1115 50,8882 50,8882 463,9222753 463,6678343 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-24 9,1135 9,1085 51,0028 51,0028 464,8140178 464,5590038 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-29 9,1315 9,1265 51,0577 51,0577 466,23338755 465,97809905 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-30 9,1425 9,1375 51,1049 51,1049 467,22654825 466,97102375 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-03-31 9,1405 9,1355 51,5169 51,5169 470,89022445 470,63263995 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-01 9,1645 9,1595 51,6436 51,6436 473,2877722 473,0295542 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-04 9,1695 9,1645 51,1551 51,1551 469,06668945 468,81091395 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-05 9,1745 9,1695 51,6039 51,6039 473,43998055 473,18196105 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-06 9,1705 9,1655 52,0886 52,0886 477,6785063 477,4180633 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-07 9,1505 9,1455 52,4773 52,4773 480,19353365 479,93114715 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-08 9,1625 9,1575 52,9825 52,9825 485,45215625 485,18724375 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-11 9,1705 9,1655 52,8412 52,8412 484,5802246 484,3160186 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-12 9,1525 9,1475 53,1342 53,1342 486,3107655 486,0450945 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-13 9,1495 9,1445 53,4034 53,4034 488,6144083 488,3473913 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-14 9,1685 9,1635 53,3885 53,3885 489,49246225 489,22551975 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-15 9,1925 9,1875 52,4738 52,4738 482,3654065 482,1030375 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-18 9,1805 9,1755 51,3759 51,3759 471,65644995 471,39957045 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-19 9,2035 9,1985 51,9989 51,9989 478,57187615 478,31188165 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-20 9,1915 9,1865 52,3158 52,3158 480,8606757 480,5990967 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-21 9,1855 9,1805 52,122 52,122 478,766631 478,506021 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-22 9,1625 9,1575 52,5782 52,5782 481,7477575 481,4848665 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-25 9,1685 9,1635 52,7398 52,7398 483,5448563 483,2811573 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-26 9,1375 9,1325 52,5944 52,5944 480,58133 480,318358 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-27 9,1465 9,1415 52,1444 52,1444 476,9387546 476,6780326 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-28 9,1505 9,1455 51,4408 51,4408 470,7090404 470,4518364 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-04-29 9,1705 9,1655 51,2913 51,2913 470,36686665 470,11041015 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-02 9,1935 9,1885 51,5113 51,5113 473,56913655 473,31158005 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-03 9,2245 9,2195 51,3448 51,3448 473,6301076 473,3733836 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-04 9,1915 9,1865 51,5719 51,5719 474,02311885 473,76525935 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-06 9,1715 9,1665 51,7595 51,7595 474,71225425 474,45345675 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-09 9,1815 9,1765 51,8339 51,8339 475,91295285 475,65378335 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-10 9,1985 9,1935 51,8215 51,8215 476,68006775 476,42096025 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-11 9,2105 9,2055 51,711 51,711 476,2841655 476,0256105 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-12 9,2315 9,2265 51,9471 51,9471 479,54965365 479,28991815 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-13 9,2045 9,1995 52,155 52,155 480,0606975 479,7999225 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-16 9,2145 9,2095 52,451 52,451 483,3097395 483,0474845 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-17 9,2325 9,2275 52,4162 52,4162 483,9325665 483,6704855 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-18 9,2095 9,2045 52,9677 52,9677 487,80603315 487,54119465 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-19 9,1905 9,1855 53,3038 53,3038 489,8885739 489,6220549 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-20 9,1955 9,1905 53,3109 53,3109 490,22038095 489,95382645 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-23 9,1805 9,1755 53,5927 53,5927 492,00778235 491,73981885 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-24 9,1815 9,1765 53,6676 53,6676 492,7490694 492,4807314 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-25 9,1785 9,1735 53,8971 53,8971 494,69453235 494,42504685 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-26 9,1945 9,1895 53,8251 53,8251 494,89488195 494,62575645 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-27 9,1955 9,1905 54,0185 54,0185 496,72711675 496,45702425 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-30 9,1905 9,1855 54,3601 54,3601 499,59649905 499,32469855 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-05-31 9,1665 9,1615 54,506 54,506 499,629249 499,356719 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-01 9,1455 9,1405 54,9698 54,9698 502,7263059 502,4514569 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-02 9,1565 9,1515 55,2583 55,2583 505,97262395 505,69633245 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-03 9,1315 9,1265 55,1905 55,1905 503,97205075 503,69609825 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-07 9,1455 9,1405 55,3956 55,3956 506,6204598 506,3434818 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-08 9,1455 9,1405 55,6027 55,6027 508,51449285 508,23647935 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-09 9,1965 9,1915 55,6903 55,6903 512,15584395 511,87739245 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-10 9,1975 9,1925 56,1417 56,1417 516,36328575 516,08257725 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-13 9,2365 9,2315 56,4472 56,4472 521,3745628 521,0923268 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-14 9,2985 9,2935 56,2649 56,2649 523,17917265 522,89784815 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-15 9,2695 9,2645 56,4222 56,4222 523,0055829 522,7234719 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-16 9,2695 9,2645 56,5815 56,5815 524,48221425 524,19930675 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-17 9,2695 9,2645 56,8433 56,8433 526,90896935 526,62475285 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-20 9,2255 9,2205 56,9017 56,9017 524,94663335 524,66212485 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-21 9,2725 9,2675 57,1703 57,1703 530,11160675 529,82575525 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-22 9,2615 9,2565 57,5419 57,5419 532,92430685 532,63659735 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-23 9,3535 9,3485 57,7814 57,7814 540,4583249 540,1694179 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-27 9,3855 9,3805 57,0493 57,0493 535,43620515 535,15095865 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-28 9,3995 9,3945 57,1215 57,1215 536,91353925 536,62793175 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-29 9,4215 9,4165 57,3083 57,3083 539,93014845 539,64360695 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-06-30 9,4415 9,4365 57,3094 57,3094 541,0867001 540,8001531 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-01 9,4595 9,4545 57,211 57,211 541,1874545 540,9013995 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-04 9,4795 9,4745 57,5236 57,5236 545,2949662 545,0073482 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-05 9,4575 9,4525 57,5737 57,5737 544,50326775 544,21539925 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-06 9,4195 9,4145 58,0434 58,0434 546,7398063 546,4495893 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-07 9,3965 9,3915 57,1946 57,1946 537,4290589 537,1430859 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-08 9,4175 9,4125 58,2135 58,2135 548,22563625 547,93456875 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-11 9,4665 9,4615 58,4686 58,4686 553,4930019 553,2006589 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-12 9,4645 9,4595 58,5454 58,5454 554,1029383 553,8102113 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-13 9,3915 9,3865 58,7401 58,7401 551,65764915 551,36394865 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-14 9,3675 9,3625 58,8925 58,8925 551,67549375 551,38103125 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-15 9,4055 9,4005 58,8827 58,8827 553,82123485 553,52682135 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-18 9,3895 9,3845 59,0152 59,0152 554,1232204 553,8281444 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-19 9,4425 9,4375 58,8535 58,8535 555,72417375 555,42990625 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-20 9,4265 9,4215 58,975 58,975 555,9278375 555,6329625 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-21 9,4625 9,4575 58,2948 58,2948 551,614545 551,323071 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-22 9,4495 9,4445 58,3266 58,3266 551,1572067 550,8655737 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-25 9,4275 9,4225 58,2623 58,2623 549,26783325 548,97652175 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-26 9,4155 9,4105 58,2963 58,2963 548,88881265 548,59733115 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-27 9,4725 9,4675 58,7465 58,7465 556,47622125 556,18248875 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-28 9,4515 9,4465 59,3276 59,3276 560,7348114 560,4381734 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-07-29 9,3885 9,3835 59,3126 59,3126 556,8563451 556,5597821 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-01 9,3985 9,3935 59,2688 59,2688 557,0378168 556,7414728 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-02 9,3995 9,3945 59,5224 59,5224 559,4807988 559,1831868 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-03 9,3755 9,3705 59,8828 59,8828 561,4311914 561,1317774 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-04 9,3735 9,3685 60,0121 60,0121 562,52341935 562,22335885 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-05 9,3355 9,3305 59,5689 59,5689 556,10546595 555,80762145 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-08 9,3335 9,3285 59,8956 59,8956 559,0355826 558,7361046 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-09 9,3455 9,3405 59,9073 59,9073 559,86367215 559,56413565 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-10 9,3535 9,3485 60,1002 60,1002 562,1472207 561,8467197 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-11 9,3365 9,3315 59,9469 59,9469 559,69423185 559,39449735 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-12 9,3025 9,2975 59,5959 59,5959 554,39085975 554,09288025 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-15 9,3065 9,3015 59,7762 59,7762 556,3072053 556,0083243 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-16 9,2995 9,2945 59,8998 59,8998 557,0381901 556,7386911 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-17 9,3405 9,3355 59,5121 59,5121 555,87277005 555,57520955 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-18 9,3365 9,3315 59,4741 59,4741 555,27993465 554,98256415 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-19 9,3395 9,3345 59,4941 59,4941 555,64514695 555,34767645 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-22 9,3655 9,3605 59,6512 59,6512 558,6633136 558,3650576 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-23 9,3715 9,3665 59,8388 59,8388 560,7793142 560,4801202 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-24 9,3365 9,3315 59,5345 59,5345 555,84385925 555,54618675 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-25 9,3335 9,3285 59,0996 59,0996 551,6061166 551,3106186 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-26 9,3415 9,3365 59,065 59,065 551,7556975 551,4603725 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-29 9,3295 9,3245 58,4603 58,4603 545,40536885 545,11306735 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-30 9,3285 9,3235 59,1291 59,1291 551,58580935 551,29016385 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-08-31 9,3585 9,3535 59,3927 59,3927 555,82658295 555,52961945 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-01 9,3365 9,3315 59,953 59,953 559,7511845 559,4514195 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-02 9,3025 9,2975 59,8727 59,8727 556,96579175 556,66642825 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-05 9,2845 9,2795 60,1284 60,1284 558,2621298 557,9614878 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-06 9,3225 9,3175 60,4584 60,4584 563,623434 563,321142 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-07 9,3075 9,3025 61,3169 61,3169 570,70704675 570,40046225 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-08 9,3255 9,3205 61,4126 61,4126 572,7032013 572,3961383 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-09 9,3445 9,3395 61,4339 61,4339 574,06907855 573,76190905 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-12 9,3015 9,2965 61,921 61,921 575,9581815 575,6485765 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-13 9,3015 9,2965 62,2617 62,2617 579,12720255 578,81589405 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-14 9,3365 9,3315 62,154 62,154 580,300821 579,990051 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-15 9,3425 9,3375 62,2844 62,2844 581,892007 581,580585 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-16 9,3465 9,3415 62,3216 62,3216 582,4888344 582,1772264 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-19 9,3355 9,3305 62,4616 62,4616 583,1102668 582,7979588 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-20 9,3395 9,3345 62,7427 62,7427 585,98544665 585,67173315 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-21 9,3405 9,3355 62,811 62,811 586,6861455 586,3720905 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-22 9,3405 9,3355 62,6769 62,6769 585,43358445 585,12019995 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-23 9,3695 9,3645 62,9315 62,9315 589,63668925 589,32203175 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-26 9,3815 9,3765 63,3004 63,3004 593,8527026 593,5362006 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-27 9,3885 9,3835 63,2017 63,2017 593,36916045 593,05315195 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-28 9,3935 9,3885 62,9869 62,9869 591,66744515 591,35251065 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-29 9,3845 9,3795 63,2564 63,2564 593,6296858 593,3134038 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-09-30 9,3435 9,3385 63,5842 63,5842 594,0989727 593,7810517 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-03 9,3025 9,2975 64,0061 64,0061 595,41674525 595,09671475 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-04 9,3185 9,3135 64,3046 64,3046 599,2224151 598,9008921 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-05 9,3105 9,3055 63,8578 63,8578 594,5480469 594,2287579 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-06 9,3015 9,2965 62,8076 62,8076 584,2048914 583,8908534 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-07 9,3385 9,3335 63,1478 63,1478 589,7057303 589,3899913 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-10 9,3465 9,3415 63,1328 63,1328 590,0707152 589,7550512 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-11 9,3395 9,3345 62,6727 62,6727 585,33168165 585,01831815 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-12 9,3375 9,3325 62,3625 62,3625 582,30984375 581,99803125 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-13 9,3815 9,3765 61,2387 61,2387 574,51086405 574,20467055 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-14 9,4135 9,4085 60,0787 60,0787 565,55084245 565,25044895 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-17 9,4575 9,4525 60,4818 60,4818 572,0066235 571,7042145 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-18 9,4625 9,4575 60,6626 60,6626 574,0198525 573,7165395 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-19 9,4605 9,4555 58,7146 58,7146 555,4694733 555,1759003 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-20 9,4935 9,4885 59,1862 59,1862 561,8841897 561,5882587 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-21 9,4915 9,4865 57,8128 57,8128 548,7301912 548,4411272 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-24 9,5455 9,5405 58,1719 58,1719 555,27987145 554,98901195 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-25 9,5465 9,5415 59,0932 59,0932 564,1332338 563,8377678 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-26 9,4975 9,4925 59,1033 59,1033 561,33359175 561,03807525 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-27 9,5355 9,5305 59,1258 59,1258 563,7940659 563,4984369 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-28 9,5135 9,5085 58,4167 58,4167 555,74727545 555,45519195 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-10-31 9,5495 9,5445 59,3128 59,3128 566,4075836 566,1110196 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-01 9,5495 9,5445 60,1221 60,1221 574,13599395 573,83538345 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-02 9,5855 9,5805 60,3549 60,3549 578,53189395 578,23011945 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-03 9,6515 9,6465 60,1104 60,1104 580,1555256 579,8549736 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-04 9,5875 9,5825 60,7929 60,7929 582,85192875 582,54796425 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-07 9,6075 9,6025 60,4435 60,4435 580,71092625 580,40870875 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-08 9,5685 9,5635 60,4848 60,4848 578,7488088 578,4463848 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-09 9,5575 9,5525 60,5837 60,5837 579,02871275 578,72579425 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-10 9,6105 9,6055 60,8227 60,8227 584,53655835 584,23244485 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-11 9,6365 9,6315 60,854 60,854 586,419571 586,115301 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-14 9,5505 9,5455 61,0683 61,0683 583,23279915 582,92745765 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-15 9,5805 9,5755 60,7583 60,7583 582,09489315 581,79110165 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-16 9,6235 9,6185 60,3605 60,3605 580,87927175 580,57746925 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-17 9,6355 9,6305 60,7 60,7 584,87485 584,57135 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-18 9,6085 9,6035 61,0455 61,0455 586,55568675 586,25045925 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-21 9,5915 9,5865 61,3583 61,3583 588,51813445 588,21134295 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-22 9,5585 9,5535 61,4656 61,4656 587,5189376 587,2116096 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-23 9,5155 9,5105 61,6609 61,6609 586,73429395 586,42598945 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-24 9,5125 9,5075 62,0666 62,0666 590,4085325 590,0981995 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-25 9,4965 9,4915 62,3895 62,3895 592,48188675 592,16993925 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-28 9,4835 9,4785 62,5051 62,5051 592,76711585 592,45459035 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-29 9,4785 9,4735 61,8716 61,8716 586,4499606 586,1406026 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-11-30 9,5295 9,5245 61,9243 61,9243 590,10761685 589,79799535 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-01 9,5165 9,5115 62,0152 62,0152 590,1676508 589,8575748 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-02 9,4905 9,4855 63,0443 63,0443 598,32192915 598,00670765 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-05 9,4065 9,4015 63,1817 63,1817 594,31866105 594,00275255 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-07 9,4255 9,4205 63,5396 63,5396 598,8924998 598,5748018 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-08 9,3965 9,3915 63,426 63,426 595,982409 595,665279 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-12 9,4315 9,4265 63,8715 63,8715 602,40405225 602,08469475 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-13 9,4295 9,4245 63,6613 63,6613 600,29422835 599,97592185 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-14 9,4365 9,4315 63,8575 63,8575 602,59129875 602,27201125 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-15 9,4345 9,4295 64,0413 64,0413 604,19764485 603,87743835 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-16 9,4765 9,4715 64,4739 64,4739 610,98691335 610,66454385 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-19 9,4535 9,4485 64,4691 64,4691 609,45863685 609,13629135 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-20 9,4015 9,3965 64,6008 64,6008 607,3444212 607,0214172 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-21 9,4485 9,4435 64,714 64,714 611,450229 611,126659 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-22 9,4365 9,4315 64,7585 64,7585 611,09358525 610,76979275 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-23 9,4425 9,4375 65,2305 65,2305 615,93899625 615,61284375 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-27 9,4915 9,4865 65,3746 65,3746 620,5030159 620,1761429 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-28 9,4345 9,4295 65,296 65,296 616,035112 615,708632 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-29 9,4115 9,4065 65,6253 65,6253 617,63251095 617,30438445 273664 Fondbolaget Fondita Ab Fondita Equity Spice Placeringsfond EUR 2005-12-30 9,4325 9,4275 65,5295 65,5295 618,10700875 617,77936125 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-03 9,0065 9,0015 40,0095 40,0095 360,34556175 360,14551425 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-04 9,0345 9,0295 40,029 40,029 361,6420005 361,4418555 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-05 9,0615 9,0565 39,7848 39,7848 360,5099652 360,3110412 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-07 9,0615 9,0565 39,8913 39,8913 361,47501495 361,27555845 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-10 9,08619 9,08119 40,1287 40,1287 364,616992653 364,416349153 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-11 9,08619 9,08119 40,2677 40,2677 365,879973063 365,678634563 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-12 9,0455 9,0405 40,1386 40,1386 363,0737063 362,8730133 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-13 9,0505 9,0455 40,1736 40,1736 363,5911668 363,3902988 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-14 9,0455 9,0405 40,2663 40,2663 364,22881665 364,02748515 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-17 9,0685 9,0635 40,4519 40,4519 366,83805515 366,63579565 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-18 9,0585 9,0535 40,5462 40,5462 367,2877527 367,0850217 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-19 9,0225 9,0175 40,9194 40,9194 369,1952865 368,9906895 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-20 9,0315 9,0265 40,4908 40,4908 365,6926602 365,4902062 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-21 9,0505 9,0455 40,5454 40,5454 366,9561427 366,7534157 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-24 9,0655 9,0605 40,3922 40,3922 366,1754891 365,9735281 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-25 9,0715 9,0665 40,4222 40,4222 366,6899873 366,4878763 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-26 9,0885 9,0835 40,5423 40,5423 368,46869355 368,26598205 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-27 9,0675 9,0625 40,7409 40,7409 369,41811075 369,21440625 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-28 9,0955 9,0905 40,8445 40,8445 371,50114975 371,29692725 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-01-31 9,1075 9,1025 40,877 40,877 372,2872775 372,0828925 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-01 9,1035 9,0985 41,2484 41,2484 375,5048094 375,2985674 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-02 9,0905 9,0855 41,7522 41,7522 379,5483741 379,3396131 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-03 9,0695 9,0645 41,9465 41,9465 380,43378175 380,22404925 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-04 9,0895 9,0845 42,1643 42,1643 383,25240485 383,04158335 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-07 9,0755 9,0705 42,5906 42,5906 386,5309903 386,3180373 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-08 9,0895 9,0845 42,561 42,561 386,8582095 386,6454045 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-09 9,0695 9,0645 42,4069 42,4069 384,60937955 384,39734505 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-10 9,0805 9,0755 42,1064 42,1064 382,3471652 382,1366332 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-11 9,0935 9,0885 41,9688 41,9688 381,6432828 381,4334388 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-14 9,1105 9,1055 42,2869 42,2869 385,25480245 385,04336795 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-15 9,0765 9,0715 42,6456 42,6456 387,0727884 386,8595604 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-16 9,0705 9,0655 42,9321 42,9321 389,41561305 389,20095255 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-17 9,0925 9,0875 43,0621 43,0621 391,54214425 391,32683375 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-18 9,0945 9,0895 43,3047 43,3047 393,83459415 393,61807065 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-21 9,1185 9,1135 43,2354 43,2354 394,2419949 394,0258179 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-22 9,0975 9,0925 43,2374 43,2374 393,3522465 393,1360595 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-23 9,1045 9,0995 43,1997 43,1997 393,31166865 393,09567015 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-24 9,0715 9,0665 43,3543 43,3543 393,28853245 393,07176095 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-25 9,0845 9,0795 43,7142 43,7142 397,1216499 396,9030789 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-02-28 9,0505 9,0455 44,0668 44,0668 398,8265734 398,6062394 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-01 9,0565 9,0515 44,1613 44,1613 399,94681345 399,72600695 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-02 9,0645 9,0595 44,2934 44,2934 401,4975243 401,2760573 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-03 9,0675 9,0625 44,3128 44,3128 401,806314 401,58475 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-04 9,0415 9,0365 44,2941 44,2941 400,48510515 400,26363465 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-07 9,0425 9,0375 44,8032 44,8032 405,132936 404,90892 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-08 9,0345 9,0295 44,5867 44,5867 402,81854115 402,59560765 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-09 9,0365 9,0315 44,8995 44,8995 405,73433175 405,50983425 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-10 9,0655 9,0605 44,5691 44,5691 404,04117605 403,81833055 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-11 9,0795 9,0745 44,5431 44,5431 404,42907645 404,20636095 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-14 9,0695 9,0645 44,4086 44,4086 402,7637977 402,5417547 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-15 9,1035 9,0985 44,552 44,552 405,579132 405,356372 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-16 9,0975 9,0925 44,5243 44,5243 405,05981925 404,83719775 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-17 9,1045 9,0995 44,3256 44,3256 403,5624252 403,3407972 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-18 9,1035 9,0985 44,3382 44,3382 403,6328037 403,4111127 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-21 9,1265 9,1215 44,1603 44,1603 403,02897795 402,80817645 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-22 9,1265 9,1215 44,0077 44,0077 401,63627405 401,41623555 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-23 9,1165 9,1115 43,7971 43,7971 399,27626215 399,05727665 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-24 9,1135 9,1085 43,9597 43,9597 400,62672595 400,40692745 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-29 9,1315 9,1265 43,9455 43,9455 401,28833325 401,06860575 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-30 9,1425 9,1375 43,7911 43,7911 400,36013175 400,14117625 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-03-31 9,1405 9,1355 43,9502 43,9502 401,7268031 401,5070521 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-01 9,1645 9,1595 44,271 44,271 405,7215795 405,5002245 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-04 9,1695 9,1645 44,2847 44,2847 406,06855665 405,84713315 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-05 9,1745 9,1695 44,6527 44,6527 409,66619615 409,44293265 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-06 9,1705 9,1655 45,0833 45,0833 413,43640265 413,21098615 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-07 9,1505 9,1455 45,3082 45,3082 414,5926841 414,3661431 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-08 9,1625 9,1575 45,7678 45,7678 419,3474675 419,1186285 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-11 9,1705 9,1655 45,7452 45,7452 419,5063566 419,2776306 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-12 9,1525 9,1475 45,8451 45,8451 419,59727775 419,36805225 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-13 9,1495 9,1445 46,2812 46,2812 423,4498394 423,2184334 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-14 9,1685 9,1635 46,3188 46,3188 424,6739178 424,4423238 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-15 9,1925 9,1875 45,6217 45,6217 419,37747725 419,14936875 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-18 9,1805 9,1755 44,5288 44,5288 408,7966484 408,5740044 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-19 9,2035 9,1985 44,8695 44,8695 412,95644325 412,73209575 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-20 9,1915 9,1865 44,95 44,95 413,157925 412,933175 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-21 9,1855 9,1805 44,7743 44,7743 411,27433265 411,05046115 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-22 9,1625 9,1575 45,0259 45,0259 412,54980875 412,32467925 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-25 9,1685 9,1635 44,9931 44,9931 412,51923735 412,29427185 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-26 9,1375 9,1325 44,898 44,898 410,255475 410,030985 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-27 9,1465 9,1415 44,3238 44,3238 405,4076367 405,1860177 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-28 9,1505 9,1455 43,7982 43,7982 400,7754291 400,5564381 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-04-29 9,1705 9,1655 43,3394 43,3394 397,4439677 397,2272707 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-02 9,1935 9,1885 43,618 43,618 401,002083 400,783993 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-03 9,2245 9,2195 43,6025 43,6025 402,21126125 401,99324875 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-04 9,1915 9,1865 43,6604 43,6604 401,3045666 401,0862646 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-06 9,1715 9,1665 43,8433 43,8433 402,10882595 401,88960945 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-09 9,1815 9,1765 43,9148 43,9148 403,2037362 402,9841622 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-10 9,1985 9,1935 43,9363 43,9363 404,14805555 403,92837405 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-11 9,2105 9,2055 43,8528 43,8528 403,9062144 403,6869504 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-12 9,2315 9,2265 43,9526 43,9526 405,7484269 405,5286639 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-13 9,2045 9,1995 44,1094 44,1094 406,0049723 405,7844253 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-16 9,2145 9,2095 44,3433 44,3433 408,60133785 408,37962135 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-17 9,2325 9,2275 44,426 44,426 410,163045 409,940915 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-18 9,2095 9,2045 44,5345 44,5345 410,14047775 409,91780525 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-19 9,1905 9,1855 44,814 44,814 411,863067 411,638997 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-20 9,1955 9,1905 44,76 44,76 411,59058 411,36678 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-23 9,1805 9,1755 44,9051 44,9051 412,25127055 412,02674505 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-24 9,1815 9,1765 45,154 45,154 414,581451 414,355681 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-25 9,1785 9,1735 45,3796 45,3796 416,5166586 416,2897606 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-26 9,1945 9,1895 45,5872 45,5872 419,1515104 418,9235744 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-27 9,1955 9,1905 45,8528 45,8528 421,6394224 421,4101584 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-30 9,1905 9,1855 45,9475 45,9475 422,28049875 422,05076125 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-05-31 9,1665 9,1615 46,1623 46,1623 423,14672295 422,91591145 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-01 9,1455 9,1405 46,4188 46,4188 424,5231354 424,2910414 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-02 9,1565 9,1515 46,4039 46,4039 424,89731035 424,66529085 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-03 9,1315 9,1265 46,5176 46,5176 424,7754644 424,5428764 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-07 9,1455 9,1405 46,9858 46,9858 429,7086339 429,4737049 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-08 9,1455 9,1405 47,1128 47,1128 430,8701124 430,6345484 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-09 9,1965 9,1915 46,9795 46,9795 432,04697175 431,81207425 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-10 9,1975 9,1925 47,3201 47,3201 435,22661975 434,99001925 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-13 9,2365 9,2315 47,6625 47,6625 440,23468125 439,99636875 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-14 9,2985 9,2935 47,5537 47,5537 442,17807945 441,94031095 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-15 9,2695 9,2645 47,6776 47,6776 441,9475132 441,7091252 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-16 9,2695 9,2645 47,4296 47,4296 439,6486772 439,4115292 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-17 9,2695 9,2645 47,8441 47,8441 443,49088495 443,25166445 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-20 9,2255 9,2205 47,8558 47,8558 441,4936829 441,2544039 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-21 9,2725 9,2675 47,8632 47,8632 443,811522 443,572206 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-22 9,2615 9,2565 47,9391 47,9391 443,98797465 443,74827915 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-23 9,3535 9,3485 47,9057 47,9057 448,08596495 447,84643645 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-27 9,3855 9,3805 47,4384 47,4384 445,2331032 444,9959112 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-28 9,3995 9,3945 47,4141 47,4141 445,66883295 445,43176245 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-29 9,4215 9,4165 47,7155 47,7155 449,55158325 449,31300575 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-06-30 9,4415 9,4365 47,7087 47,7087 450,44169105 450,20314755 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-01 9,4595 9,4545 47,6579 47,6579 450,81990505 450,58161555 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-04 9,4795 9,4745 47,923 47,923 454,2860785 454,0464635 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-05 9,4575 9,4525 48,011 48,011 454,0640325 453,8239775 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-06 9,4195 9,4145 48,1449 48,1449 453,50088555 453,26016105 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-07 9,3965 9,3915 47,1434 47,1434 442,9829581 442,7472411 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-08 9,4175 9,4125 48,1011 48,1011 452,99210925 452,75160375 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-11 9,4665 9,4615 48,4138 48,4138 458,3092377 458,0671687 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-12 9,4645 9,4595 48,6312 48,6312 460,2699924 460,0268364 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-13 9,3915 9,3865 48,9144 48,9144 459,3795876 459,1350156 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-14 9,3675 9,3625 48,983 48,983 458,8482525 458,6033375 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-15 9,4055 9,4005 48,7685 48,7685 458,69212675 458,44828425 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-18 9,3895 9,3845 49,0069 49,0069 460,15028755 459,90525305 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-19 9,4425 9,4375 48,8542 48,8542 461,3057835 461,0615125 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-20 9,4265 9,4215 48,9134 48,9134 461,0821651 460,8375981 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-21 9,4625 9,4575 48,7142 48,7142 460,9581175 460,7145465 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-22 9,4495 9,4445 48,8364 48,8364 461,4795618 461,2353798 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-25 9,4275 9,4225 49,1564 49,1564 463,421961 463,176179 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-26 9,4155 9,4105 49,077 49,077 462,0844935 461,8391085 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-27 9,4725 9,4675 49,1893 49,1893 465,94564425 465,69969775 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-28 9,4515 9,4465 49,603 49,603 468,8227545 468,5747395 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-07-29 9,3885 9,3835 49,6247 49,6247 465,90149595 465,65337245 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-01 9,3985 9,3935 49,8818 49,8818 468,8140973 468,5646883 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-02 9,3995 9,3945 49,9336 49,9336 469,3508732 469,1012052 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-03 9,3755 9,3705 50,1438 50,1438 470,1231969 469,8724779 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-04 9,3735 9,3685 50,2301 50,2301 470,83184235 470,58069185 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-05 9,3355 9,3305 50,3785 50,3785 470,30848675 470,05659425 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-08 9,3335 9,3285 50,5769 50,5769 472,05949615 471,80661165 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-09 9,3455 9,3405 50,4229 50,4229 471,22721195 470,97509745 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-10 9,3535 9,3485 50,5925 50,5925 473,21694875 472,96398625 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-11 9,3365 9,3315 50,6374 50,6374 472,7760851 472,5228981 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-12 9,3025 9,2975 50,6188 50,6188 470,881387 470,628293 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-15 9,3065 9,3015 50,5634 50,5634 470,5682821 470,3154651 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-16 9,2995 9,2945 50,796 50,796 472,377402 472,123422 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-17 9,3405 9,3355 50,6763 50,6763 473,34198015 473,08859865 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-18 9,3365 9,3315 50,7431 50,7431 473,76295315 473,50923765 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-19 9,3395 9,3345 50,9145 50,9145 475,51597275 475,26140025 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-22 9,3655 9,3605 51,0412 51,0412 478,0263586 477,7711526 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-23 9,3715 9,3665 51,0771 51,0771 478,66904265 478,41365715 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-24 9,3365 9,3315 50,9948 50,9948 476,1129502 475,8579762 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-25 9,3335 9,3285 50,6486 50,6486 472,7287081 472,4754651 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-26 9,3415 9,3365 50,6848 50,6848 473,4720592 473,2186352 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-29 9,3295 9,3245 50,2362 50,2362 468,6786279 468,4274469 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-30 9,3285 9,3235 50,6244 50,6244 472,2497154 471,9965934 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-08-31 9,3585 9,3535 51,2601 51,2601 479,71764585 479,46134535 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-01 9,3365 9,3315 51,8415 51,8415 484,01816475 483,75895725 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-02 9,3025 9,2975 51,9328 51,9328 483,104872 482,845208 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-05 9,2845 9,2795 52,1633 52,1633 484,31015885 484,04934235 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-06 9,3225 9,3175 52,3948 52,3948 488,450523 488,188549 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-07 9,3075 9,3025 52,973 52,973 493,0461975 492,7813325 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-08 9,3255 9,3205 53,1488 53,1488 495,6391344 495,3733904 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-09 9,3445 9,3395 53,2198 53,2198 497,3124211 497,0463221 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-12 9,3015 9,2965 53,5726 53,5726 498,3055389 498,0376759 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-13 9,3015 9,2965 53,3512 53,3512 496,2461868 495,9794308 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-14 9,3365 9,3315 53,2436 53,2436 497,1088714 496,8426534 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-15 9,3425 9,3375 53,6468 53,6468 501,195229 500,926995 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-16 9,3465 9,3415 53,7121 53,7121 502,02014265 501,75158215 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-19 9,3355 9,3305 53,6343 53,6343 500,70300765 500,43483615 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-20 9,3395 9,3345 53,9261 53,9261 503,64281095 503,37318045 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-21 9,3405 9,3355 54,096 54,096 505,283688 505,013208 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-22 9,3405 9,3355 53,9806 53,9806 504,2057943 503,9358913 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-23 9,3695 9,3645 54,2242 54,2242 508,0536419 507,7825209 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-26 9,3815 9,3765 54,585 54,585 512,0891775 511,8162525 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-27 9,3885 9,3835 54,4206 54,4206 510,9278031 510,6557001 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-28 9,3935 9,3885 54,4736 54,4736 511,6977616 511,4253936 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-29 9,3845 9,3795 54,6678 54,6678 513,0299691 512,7566301 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-09-30 9,3435 9,3385 54,8574 54,8574 512,5601169 512,2858299 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-03 9,3025 9,2975 55,3838 55,3838 515,2077995 514,9308805 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-04 9,3185 9,3135 55,4406 55,4406 516,6232311 516,3460281 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-05 9,3105 9,3055 55,0955 55,0955 512,96665275 512,69117525 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-06 9,3015 9,2965 54,0944 54,0944 503,1590616 502,8885896 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-07 9,3385 9,3335 54,167 54,167 505,8385295 505,5676945 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-10 9,3465 9,3415 54,5211 54,5211 509,58146115 509,30885565 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-11 9,3395 9,3345 54,4122 54,4122 508,1827419 507,9106809 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-12 9,3375 9,3325 54,1783 54,1783 505,88987625 505,61898475 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-13 9,3815 9,3765 53,3067 53,3067 500,09680605 499,83027255 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-14 9,4135 9,4085 52,1872 52,1872 491,2642072 491,0032712 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-17 9,4575 9,4525 52,2024 52,2024 493,704198 493,443186 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-18 9,4625 9,4575 52,3831 52,3831 495,67508375 495,41316825 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-19 9,4605 9,4555 50,9976 50,9976 482,4627948 482,2078068 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-20 9,4935 9,4885 51,4186 51,4186 488,1424791 487,8853861 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-21 9,4915 9,4865 50,1945 50,1945 476,42109675 476,17012425 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-24 9,5455 9,5405 50,3164 50,3164 480,2951962 480,0436142 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-25 9,5465 9,5415 51,3387 51,3387 490,10489955 489,84820605 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-26 9,4975 9,4925 51,4182 51,4182 488,3443545 488,0872635 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-27 9,5355 9,5305 51,3207 51,3207 489,36853485 489,11193135 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-28 9,5135 9,5085 50,9853 50,9853 485,04865155 484,79372505 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-10-31 9,5495 9,5445 51,6568 51,6568 493,2966116 493,0383276 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-01 9,5495 9,5445 51,9862 51,9862 496,4422169 496,1822859 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-02 9,5855 9,5805 52,2383 52,2383 500,73022465 500,46903315 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-03 9,6515 9,6465 52,2327 52,2327 504,12390405 503,86274055 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-04 9,5875 9,5825 52,6042 52,6042 504,3427675 504,0797465 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-07 9,6075 9,6025 52,6044 52,6044 505,396773 505,133751 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-08 9,5685 9,5635 52,8757 52,8757 505,94113545 505,67675695 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-09 9,5575 9,5525 52,8018 52,8018 504,6532035 504,3891945 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-10 9,6105 9,6055 53,0249 53,0249 509,59580145 509,33067695 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-11 9,6365 9,6315 53,076 53,076 511,466874 511,201494 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-14 9,5505 9,5455 53,2653 53,2653 508,71024765 508,44392115 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-15 9,5805 9,5755 52,964 52,964 507,421602 507,156782 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-16 9,6235 9,6185 52,7258 52,7258 507,4067363 507,1431073 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-17 9,6355 9,6305 53,0812 53,0812 511,4639026 511,1984966 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-18 9,6085 9,6035 53,4565 53,4565 513,63678025 513,36949775 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-21 9,5915 9,5865 53,5416 53,5416 513,5442564 513,2765484 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-22 9,5585 9,5535 54,0141 54,0141 516,29377485 516,02370435 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-23 9,5155 9,5105 54,0969 54,0969 514,75905195 514,48856745 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-24 9,5125 9,5075 54,2614 54,2614 516,1615675 515,8902605 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-25 9,4965 9,4915 54,5959 54,5959 518,46996435 518,19698485 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-28 9,4835 9,4785 54,8267 54,8267 519,94900945 519,67487595 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-29 9,4785 9,4735 54,5997 54,5997 517,52325645 517,25025795 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-11-30 9,5295 9,5245 54,5015 54,5015 519,37204425 519,09953675 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-01 9,5165 9,5115 54,7098 54,7098 520,6458117 520,3722627 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-02 9,4905 9,4855 55,6485 55,6485 528,13208925 527,85384675 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-05 9,4065 9,4015 55,7418 55,7418 524,3352417 524,0565327 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-07 9,4255 9,4205 56,3316 56,3316 530,9534958 530,6718378 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-08 9,3965 9,3915 56,2464 56,2464 528,5192976 528,2380656 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-12 9,4315 9,4265 56,4144 56,4144 532,0724136 531,7903416 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-13 9,4295 9,4245 56,3759 56,3759 531,59654905 531,31466955 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-14 9,4365 9,4315 56,2153 56,2153 530,47567845 530,19460195 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-15 9,4345 9,4295 56,2278 56,2278 530,4811791 530,2000401 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-16 9,4765 9,4715 56,5505 56,5505 535,90081325 535,61806075 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-19 9,4535 9,4485 56,7698 56,7698 536,6733043 536,3894553 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-20 9,4015 9,3965 57,1248 57,1248 537,0588072 536,7731832 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-21 9,4485 9,4435 57,1339 57,1339 539,82965415 539,54398465 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-22 9,4365 9,4315 57,3974 57,3974 541,6305651 541,3435781 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-23 9,4425 9,4375 57,5713 57,5713 543,61700025 543,32914375 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-27 9,4915 9,4865 57,773 57,773 548,3524295 548,0635645 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-28 9,4345 9,4295 57,9811 57,9811 547,02268795 546,73278245 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-29 9,4115 9,4065 58,4547 58,4547 550,14640905 549,85413555 237834 Fondbolaget Fondita Ab Fondita Nordic Small Cap Placeringsfond EUR 2005-12-30 9,4325 9,4275 58,6872 58,6872 553,567014 553,273578 384107 Franklin Templeton Investment Management Franklin Aggressive Growth Fund USD 2005-12-20 7,848 7,838 5,9 5,9 46,3032 46,2442 384107 Franklin Templeton Investment Management Franklin Aggressive Growth Fund USD 2005-12-21 7,948 7,938 5,93 5,93 47,13164 47,07234 384107 Franklin Templeton Investment Management Franklin Aggressive Growth Fund USD 2005-12-22 7,98 7,97 5,97 5,97 47,6406 47,5809 384107 Franklin Templeton Investment Management Franklin Aggressive Growth Fund USD 2005-12-23 7,955 7,945 5,97 5,97 47,49135 47,43165 384107 Franklin Templeton Investment Management Franklin Aggressive Growth Fund USD 2005-12-27 8,01 8 5,91 5,91 47,3391 47,28 384107 Franklin Templeton Investment Management Franklin Aggressive Growth Fund USD 2005-12-28 7,915 7,905 5,93 5,93 46,93595 46,87665 384107 Franklin Templeton Investment Management Franklin Aggressive Growth Fund USD 2005-12-29 7,938 7,928 5,92 5,92 46,99296 46,93376 384107 Franklin Templeton Investment Management Franklin Aggressive Growth Fund USD 2005-12-30 7,958 7,948 5,88 5,88 46,79304 46,73424 419937 Franklin Templeton Investment Management Franklin Biotechnology Discovery Fund USD 2005-12-20 7,848 7,838 8,26 8,26 64,82448 64,74188 419937 Franklin Templeton Investment Management Franklin Biotechnology Discovery Fund USD 2005-12-21 7,948 7,938 8,41 8,41 66,84268 66,75858 419937 Franklin Templeton Investment Management Franklin Biotechnology Discovery Fund USD 2005-12-22 7,98 7,97 8,54 8,54 68,1492 68,0638 419937 Franklin Templeton Investment Management Franklin Biotechnology Discovery Fund USD 2005-12-23 7,955 7,945 8,54 8,54 67,9357 67,8503 419937 Franklin Templeton Investment Management Franklin Biotechnology Discovery Fund USD 2005-12-27 8,01 8 8,45 8,45 67,6845 67,6 419937 Franklin Templeton Investment Management Franklin Biotechnology Discovery Fund USD 2005-12-28 7,915 7,905 8,45 8,45 66,88175 66,79725 419937 Franklin Templeton Investment Management Franklin Biotechnology Discovery Fund USD 2005-12-29 7,938 7,928 8,43 8,43 66,91734 66,83304 419937 Franklin Templeton Investment Management Franklin Biotechnology Discovery Fund USD 2005-12-30 7,958 7,948 8,43 8,43 67,08594 67,00164 666495 Franklin Templeton Investment Management Franklin European Growth Fund EUR 2005-12-20 9,4015 9,3965 7,44 7,44 69,94716 69,90996 666495 Franklin Templeton Investment Management Franklin European Growth Fund EUR 2005-12-21 9,4485 9,4435 7,46 7,46 70,48581 70,44851 666495 Franklin Templeton Investment Management Franklin European Growth Fund EUR 2005-12-22 9,4365 9,4315 7,42 7,42 70,01883 69,98173 666495 Franklin Templeton Investment Management Franklin European Growth Fund EUR 2005-12-23 9,4425 9,4375 7,46 7,46 70,44105 70,40375 666495 Franklin Templeton Investment Management Franklin European Growth Fund EUR 2005-12-27 9,4915 9,4865 7,48 7,48 70,99642 70,95902 666495 Franklin Templeton Investment Management Franklin European Growth Fund EUR 2005-12-28 9,4345 9,4295 7,48 7,48 70,57006 70,53266 666495 Franklin Templeton Investment Management Franklin European Growth Fund EUR 2005-12-29 9,4115 9,4065 7,52 7,52 70,77448 70,73688 666495 Franklin Templeton Investment Management Franklin European Growth Fund EUR 2005-12-30 9,4325 9,4275 7,48 7,48 70,5551 70,5177 455766 Franklin Templeton Investment Management Franklin European Small-Mid Cap Growth Fund EUR 2005-12-20 9,4015 9,3965 14,12 14,12 132,74918 132,67858 455766 Franklin Templeton Investment Management Franklin European Small-Mid Cap Growth Fund EUR 2005-12-21 9,4485 9,4435 14,19 14,19 134,074215 134,003265 455766 Franklin Templeton Investment Management Franklin European Small-Mid Cap Growth Fund EUR 2005-12-22 9,4365 9,4315 14,2 14,2 133,9983 133,9273 455766 Franklin Templeton Investment Management Franklin European Small-Mid Cap Growth Fund EUR 2005-12-23 9,4425 9,4375 14,27 14,27 134,744475 134,673125 455766 Franklin Templeton Investment Management Franklin European Small-Mid Cap Growth Fund EUR 2005-12-27 9,4915 9,4865 14,33 14,33 136,013195 135,941545 455766 Franklin Templeton Investment Management Franklin European Small-Mid Cap Growth Fund EUR 2005-12-28 9,4345 9,4295 14,3 14,3 134,91335 134,84185 455766 Franklin Templeton Investment Management Franklin European Small-Mid Cap Growth Fund EUR 2005-12-29 9,4115 9,4065 14,4 14,4 135,5256 135,4536 455766 Franklin Templeton Investment Management Franklin European Small-Mid Cap Growth Fund EUR 2005-12-30 9,4325 9,4275 14,4 14,4 135,828 135,756 491597 Franklin Templeton Investment Management Franklin Global Growth Fund USD 2005-12-20 7,848 7,838 8,87 8,87 69,61176 69,52306 491597 Franklin Templeton Investment Management Franklin Global Growth Fund USD 2005-12-21 7,948 7,938 8,91 8,91 70,81668 70,72758 491597 Franklin Templeton Investment Management Franklin Global Growth Fund USD 2005-12-22 7,98 7,97 8,93 8,93 71,2614 71,1721 491597 Franklin Templeton Investment Management Franklin Global Growth Fund USD 2005-12-23 7,955 7,945 8,93 8,93 71,03815 70,94885 491597 Franklin Templeton Investment Management Franklin Global Growth Fund USD 2005-12-27 8,01 8 8,87 8,87 71,0487 70,96 491597 Franklin Templeton Investment Management Franklin Global Growth Fund USD 2005-12-28 7,915 7,905 8,91 8,91 70,52265 70,43355 491597 Franklin Templeton Investment Management Franklin Global Growth Fund USD 2005-12-29 7,938 7,928 8,95 8,95 71,0451 70,9556 491597 Franklin Templeton Investment Management Franklin Global Growth Fund USD 2005-12-30 7,958 7,948 8,92 8,92 70,98536 70,89616 599084 Franklin Templeton Investment Management Franklin Mutual Beacon Fund USD 2005-12-20 7,848 7,838 46,78 46,78 367,12944 366,66164 599084 Franklin Templeton Investment Management Franklin Mutual Beacon Fund USD 2005-12-21 7,948 7,938 46,95 46,95 373,1586 372,6891 599084 Franklin Templeton Investment Management Franklin Mutual Beacon Fund USD 2005-12-22 7,98 7,97 47,1 47,1 375,858 375,387 599084 Franklin Templeton Investment Management Franklin Mutual Beacon Fund USD 2005-12-23 7,955 7,945 47,17 47,17 375,23735 374,76565 599084 Franklin Templeton Investment Management Franklin Mutual Beacon Fund USD 2005-12-27 8,01 8 46,98 46,98 376,3098 375,84 599084 Franklin Templeton Investment Management Franklin Mutual Beacon Fund USD 2005-12-28 7,915 7,905 47,04 47,04 372,3216 371,8512 599084 Franklin Templeton Investment Management Franklin Mutual Beacon Fund USD 2005-12-29 7,938 7,928 47,1 47,1 373,8798 373,4088 599084 Franklin Templeton Investment Management Franklin Mutual Beacon Fund USD 2005-12-30 7,958 7,948 46,95 46,95 373,6281 373,1586 634915 Franklin Templeton Investment Management Franklin Mutual European Fund EUR 2005-12-20 9,4015 9,3965 15,87 15,87 149,201805 149,122455 634915 Franklin Templeton Investment Management Franklin Mutual European Fund EUR 2005-12-21 9,4485 9,4435 15,92 15,92 150,42012 150,34052 634915 Franklin Templeton Investment Management Franklin Mutual European Fund EUR 2005-12-22 9,4365 9,4315 15,91 15,91 150,134715 150,055165 634915 Franklin Templeton Investment Management Franklin Mutual European Fund EUR 2005-12-23 9,4425 9,4375 15,92 15,92 150,3246 150,245 634915 Franklin Templeton Investment Management Franklin Mutual European Fund EUR 2005-12-27 9,4915 9,4865 15,95 15,95 151,389425 151,309675 634915 Franklin Templeton Investment Management Franklin Mutual European Fund EUR 2005-12-28 9,4345 9,4295 15,97 15,97 150,668965 150,589115 634915 Franklin Templeton Investment Management Franklin Mutual European Fund EUR 2005-12-29 9,4115 9,4065 16,04 16,04 150,96046 150,88026 634915 Franklin Templeton Investment Management Franklin Mutual European Fund EUR 2005-12-30 9,4325 9,4275 15,99 15,99 150,825675 150,745725 527424 Franklin Templeton Investment Management Franklin Technology Fund USD 2005-12-20 7,848 7,838 4,93 4,93 38,69064 38,64134 527424 Franklin Templeton Investment Management Franklin Technology Fund USD 2005-12-21 7,948 7,938 4,96 4,96 39,42208 39,37248 527424 Franklin Templeton Investment Management Franklin Technology Fund USD 2005-12-22 7,98 7,97 5 5 39,9 39,85 527424 Franklin Templeton Investment Management Franklin Technology Fund USD 2005-12-23 7,955 7,945 5 5 39,775 39,725 527424 Franklin Templeton Investment Management Franklin Technology Fund USD 2005-12-27 8,01 8 4,95 4,95 39,6495 39,6 527424 Franklin Templeton Investment Management Franklin Technology Fund USD 2005-12-28 7,915 7,905 4,96 4,96 39,2584 39,2088 527424 Franklin Templeton Investment Management Franklin Technology Fund USD 2005-12-29 7,938 7,928 4,95 4,95 39,2931 39,2436 527424 Franklin Templeton Investment Management Franklin Technology Fund USD 2005-12-30 7,958 7,948 4,91 4,91 39,07378 39,02468 670745 Franklin Templeton Investment Management Franklin Templeton Japan Fund JPY 2005-12-20 0,06735 0,06725 1195,3 1195,3 80,503455 80,383925 670745 Franklin Templeton Investment Management Franklin Templeton Japan Fund JPY 2005-12-21 0,06795 0,06785 1209,96 1209,96 82,216782 82,095786 670745 Franklin Templeton Investment Management Franklin Templeton Japan Fund JPY 2005-12-22 0,06795 0,06785 1210,81 1210,81 82,2745395 82,1534585 670745 Franklin Templeton Investment Management Franklin Templeton Japan Fund JPY 2005-12-23 0,06825 0,06815 1210,57 1210,57 82,6214025 82,5003455 670745 Franklin Templeton Investment Management Franklin Templeton Japan Fund JPY 2005-12-27 0,06855 0,06845 1211,04 1211,04 83,016792 82,895688 670745 Franklin Templeton Investment Management Franklin Templeton Japan Fund JPY 2005-12-28 0,06765 0,06755 1225 1225 82,87125 82,74875 670745 Franklin Templeton Investment Management Franklin Templeton Japan Fund JPY 2005-12-29 0,0674 0,0673 1237,59 1237,59 83,413566 83,289807 670745 Franklin Templeton Investment Management Franklin Templeton Japan Fund JPY 2005-12-30 0,06785 0,06775 1229,84 1229,84 83,444644 83,32166 563254 Franklin Templeton Investment Management Franklin US Equity Fund USD 2005-12-20 7,848 7,838 14,34 14,34 112,54032 112,39692 563254 Franklin Templeton Investment Management Franklin US Equity Fund USD 2005-12-21 7,948 7,938 14,37 14,37 114,21276 114,06906 563254 Franklin Templeton Investment Management Franklin US Equity Fund USD 2005-12-22 7,98 7,97 14,43 14,43 115,1514 115,0071 563254 Franklin Templeton Investment Management Franklin US Equity Fund USD 2005-12-23 7,955 7,945 14,45 14,45 114,94975 114,80525 563254 Franklin Templeton Investment Management Franklin US Equity Fund USD 2005-12-27 8,01 8 14,29 14,29 114,4629 114,32 563254 Franklin Templeton Investment Management Franklin US Equity Fund USD 2005-12-28 7,915 7,905 14,32 14,32 113,3428 113,1996 563254 Franklin Templeton Investment Management Franklin US Equity Fund USD 2005-12-29 7,938 7,928 14,29 14,29 113,43402 113,29112 563254 Franklin Templeton Investment Management Franklin US Equity Fund USD 2005-12-30 7,958 7,948 14,22 14,22 113,16276 113,02056 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-03 1 1 106,17 106,17 106,17 106,17 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-04 1 1 106,23 106,23 106,23 106,23 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-05 1 1 106,05 106,05 106,05 106,05 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-07 1 1 106,43 106,43 106,43 106,43 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-10 1 1 106,49 106,49 106,49 106,49 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-11 1 1 106,52 106,52 106,52 106,52 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-12 1 1 106,5 106,5 106,5 106,5 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-13 1 1 106,67 106,67 106,67 106,67 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-14 1 1 106,68 106,68 106,68 106,68 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-17 1 1 106,83 106,83 106,83 106,83 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-18 1 1 106,71 106,71 106,71 106,71 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-19 1 1 106,86 106,86 106,86 106,86 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-20 1 1 106,71 106,71 106,71 106,71 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-21 1 1 106,82 106,82 106,82 106,82 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-24 1 1 107,01 107,01 107,01 107,01 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-25 1 1 107,04 107,04 107,04 107,04 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-26 1 1 106,88 106,88 106,88 106,88 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-27 1 1 106,78 106,78 106,78 106,78 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-28 1 1 107 107 107 107 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-01-31 1 1 107,02 107,02 107,02 107,02 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-01 1 1 107,13 107,13 107,13 107,13 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-02 1 1 107,1 107,1 107,1 107,1 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-03 1 1 107,02 107,02 107,02 107,02 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-04 1 1 107,21 107,21 107,21 107,21 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-07 1 1 107,28 107,28 107,28 107,28 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-08 1 1 107,25 107,25 107,25 107,25 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-09 1 1 107,39 107,39 107,39 107,39 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-10 1 1 107,51 107,51 107,51 107,51 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-11 1 1 107,44 107,44 107,44 107,44 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-14 1 1 107,38 107,38 107,38 107,38 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-15 1 1 107,34 107,34 107,34 107,34 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-16 1 1 107,36 107,36 107,36 107,36 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-17 1 1 107,22 107,22 107,22 107,22 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-18 1 1 106,9 106,9 106,9 106,9 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-21 1 1 106,83 106,83 106,83 106,83 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-22 1 1 106,75 106,75 106,75 106,75 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-23 1 1 106,89 106,89 106,89 106,89 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-24 1 1 106,79 106,79 106,79 106,79 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-25 1 1 106,66 106,66 106,66 106,66 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-02-28 1 1 106,82 106,82 106,82 106,82 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-01 1 1 106,72 106,72 106,72 106,72 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-02 1 1 106,56 106,56 106,56 106,56 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-03 1 1 106,69 106,69 106,69 106,69 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-04 1 1 106,88 106,88 106,88 106,88 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-07 1 1 107,05 107,05 107,05 107,05 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-08 1 1 107,06 107,06 107,06 107,06 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-09 1 1 106,83 106,83 106,83 106,83 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-10 1 1 106,86 106,86 106,86 106,86 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-11 1 1 101,95 101,95 101,95 101,95 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-14 1 1 101,92 101,92 101,92 101,92 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-15 1 1 102,11 102,11 102,11 102,11 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-16 1 1 102,03 102,03 102,03 102,03 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-17 1 1 102,14 102,14 102,14 102,14 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-18 1 1 102,05 102,05 102,05 102,05 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-21 1 1 101,98 101,98 101,98 101,98 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-22 1 1 102,12 102,12 102,12 102,12 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-23 1 1 101,96 101,96 101,96 101,96 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-24 1 1 102,05 102,05 102,05 102,05 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-29 1 1 102,11 102,11 102,11 102,11 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-30 1 1 102,16 102,16 102,16 102,16 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-03-31 1 1 102,39 102,39 102,39 102,39 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-01 1 1 102,59 102,59 102,59 102,59 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-04 1 1 102,65 102,65 102,65 102,65 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-05 1 1 102,67 102,67 102,67 102,67 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-06 1 1 102,72 102,72 102,72 102,72 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-07 1 1 102,78 102,78 102,78 102,78 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-08 1 1 102,63 102,63 102,63 102,63 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-11 1 1 102,76 102,76 102,76 102,76 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-12 1 1 102,8 102,8 102,8 102,8 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-13 1 1 102,97 102,97 102,97 102,97 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-14 1 1 102,98 102,98 102,98 102,98 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-15 1 1 103,23 103,23 103,23 103,23 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-18 1 1 103,35 103,35 103,35 103,35 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-19 1 1 103,36 103,36 103,36 103,36 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-20 1 1 103,35 103,35 103,35 103,35 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-21 1 1 103,32 103,32 103,32 103,32 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-22 1 1 103,48 103,48 103,48 103,48 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-25 1 1 103,6 103,6 103,6 103,6 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-26 1 1 103,69 103,69 103,69 103,69 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-27 1 1 103,8 103,8 103,8 103,8 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-28 1 1 103,92 103,92 103,92 103,92 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-04-29 1 1 103,92 103,92 103,92 103,92 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-02 1 1 104,05 104,05 104,05 104,05 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-03 1 1 104,1 104,1 104,1 104,1 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-04 1 1 103,9 103,9 103,9 103,9 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-06 1 1 103,73 103,73 103,73 103,73 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-09 1 1 103,79 103,79 103,79 103,79 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-10 1 1 103,99 103,99 103,99 103,99 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-11 1 1 104,21 104,21 104,21 104,21 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-12 1 1 104,14 104,14 104,14 104,14 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-13 1 1 104,39 104,39 104,39 104,39 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-16 1 1 104,42 104,42 104,42 104,42 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-17 1 1 104,43 104,43 104,43 104,43 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-18 1 1 104,64 104,64 104,64 104,64 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-19 1 1 104,6 104,6 104,6 104,6 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-20 1 1 104,4 104,4 104,4 104,4 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-23 1 1 104,47 104,47 104,47 104,47 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-24 1 1 104,61 104,61 104,61 104,61 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-25 1 1 104,7 104,7 104,7 104,7 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-26 1 1 104,57 104,57 104,57 104,57 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-27 1 1 104,58 104,58 104,58 104,58 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-30 1 1 104,53 104,53 104,53 104,53 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-05-31 1 1 104,81 104,81 104,81 104,81 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-01 1 1 104,98 104,98 104,98 104,98 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-02 1 1 105,09 105,09 105,09 105,09 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-03 1 1 105,35 105,35 105,35 105,35 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-07 1 1 105,41 105,41 105,41 105,41 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-08 1 1 105,65 105,65 105,65 105,65 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-09 1 1 105,58 105,58 105,58 105,58 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-10 1 1 105,57 105,57 105,57 105,57 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-13 1 1 105,54 105,54 105,54 105,54 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-14 1 1 105,44 105,44 105,44 105,44 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-15 1 1 105,22 105,22 105,22 105,22 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-16 1 1 105,1 105,1 105,1 105,1 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-17 1 1 105,28 105,28 105,28 105,28 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-20 1 1 105,26 105,26 105,26 105,26 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-21 1 1 105,7 105,7 105,7 105,7 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-22 1 1 106 106 106 106 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-23 1 1 105,97 105,97 105,97 105,97 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-27 1 1 106,13 106,13 106,13 106,13 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-28 1 1 106,01 106,01 106,01 106,01 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-29 1 1 106,12 106,12 106,12 106,12 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-06-30 1 1 106,1 106,1 106,1 106,1 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-01 1 1 106,12 106,12 106,12 106,12 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-04 1 1 105,96 105,96 105,96 105,96 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-05 1 1 105,77 105,77 105,77 105,77 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-06 1 1 105,79 105,79 105,79 105,79 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-07 1 1 106 106 106 106 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-08 1 1 106,03 106,03 106,03 106,03 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-11 1 1 105,84 105,84 105,84 105,84 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-12 1 1 105,76 105,76 105,76 105,76 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-13 1 1 105,68 105,68 105,68 105,68 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-14 1 1 105,61 105,61 105,61 105,61 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-15 1 1 105,53 105,53 105,53 105,53 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-18 1 1 105,68 105,68 105,68 105,68 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-19 1 1 105,63 105,63 105,63 105,63 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-20 1 1 105,58 105,58 105,58 105,58 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-21 1 1 105,65 105,65 105,65 105,65 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-22 1 1 105,77 105,77 105,77 105,77 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-25 1 1 105,91 105,91 105,91 105,91 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-26 1 1 105,82 105,82 105,82 105,82 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-27 1 1 105,92 105,92 105,92 105,92 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-28 1 1 105,83 105,83 105,83 105,83 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-07-29 1 1 105,71 105,71 105,71 105,71 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-01 1 1 105,43 105,43 105,43 105,43 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-02 1 1 105,26 105,26 105,26 105,26 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-03 1 1 105,19 105,19 105,19 105,19 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-04 1 1 105,31 105,31 105,31 105,31 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-05 1 1 105,06 105,06 105,06 105,06 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-08 1 1 105,06 105,06 105,06 105,06 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-09 1 1 105,1 105,1 105,1 105,1 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-10 1 1 105,22 105,22 105,22 105,22 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-11 1 1 105,25 105,25 105,25 105,25 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-12 1 1 105,35 105,35 105,35 105,35 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-15 1 1 105,45 105,45 105,45 105,45 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-16 1 1 105,52 105,52 105,52 105,52 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-17 1 1 105,55 105,55 105,55 105,55 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-18 1 1 105,54 105,54 105,54 105,54 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-19 1 1 105,53 105,53 105,53 105,53 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-22 1 1 105,58 105,58 105,58 105,58 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-23 1 1 105,75 105,75 105,75 105,75 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-24 1 1 105,72 105,72 105,72 105,72 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-25 1 1 105,82 105,82 105,82 105,82 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-26 1 1 105,85 105,85 105,85 105,85 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-29 1 1 105,82 105,82 105,82 105,82 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-30 1 1 105,8 105,8 105,8 105,8 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-08-31 1 1 106,04 106,04 106,04 106,04 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-01 1 1 106,22 106,22 106,22 106,22 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-02 1 1 106,26 106,26 106,26 106,26 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-05 1 1 106,34 106,34 106,34 106,34 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-06 1 1 106,21 106,21 106,21 106,21 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-07 1 1 106,19 106,19 106,19 106,19 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-08 1 1 106,27 106,27 106,27 106,27 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-09 1 1 106,35 106,35 106,35 106,35 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-12 1 1 106,12 106,12 106,12 106,12 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-13 1 1 106,15 106,15 106,15 106,15 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-14 1 1 106,14 106,14 106,14 106,14 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-15 1 1 106,05 106,05 106,05 106,05 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-16 1 1 105,96 105,96 105,96 105,96 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-19 1 1 105,98 105,98 105,98 105,98 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-20 1 1 106,14 106,14 106,14 106,14 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-21 1 1 106,32 106,32 106,32 106,32 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-22 1 1 106,32 106,32 106,32 106,32 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-23 1 1 106,14 106,14 106,14 106,14 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-26 1 1 105,97 105,97 105,97 105,97 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-27 1 1 106,01 106,01 106,01 106,01 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-28 1 1 105,9 105,9 105,9 105,9 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-29 1 1 105,77 105,77 105,77 105,77 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-09-30 1 1 105,8 105,8 105,8 105,8 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-03 1 1 105,53 105,53 105,53 105,53 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-04 1 1 105,57 105,57 105,57 105,57 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-05 1 1 105,66 105,66 105,66 105,66 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-06 1 1 105,6 105,6 105,6 105,6 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-07 1 1 105,56 105,56 105,56 105,56 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-10 1 1 105,61 105,61 105,61 105,61 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-11 1 1 105,55 105,55 105,55 105,55 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-12 1 1 105,46 105,46 105,46 105,46 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-13 1 1 105,4 105,4 105,4 105,4 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-14 1 1 105,4 105,4 105,4 105,4 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-17 1 1 105,41 105,41 105,41 105,41 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-18 1 1 105,39 105,39 105,39 105,39 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-19 1 1 105,54 105,54 105,54 105,54 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-20 1 1 105,4 105,4 105,4 105,4 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-21 1 1 105,6 105,6 105,6 105,6 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-24 1 1 105,65 105,65 105,65 105,65 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-25 1 1 105,46 105,46 105,46 105,46 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-26 1 1 105,13 105,13 105,13 105,13 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-27 1 1 105,16 105,16 105,16 105,16 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-28 1 1 105,12 105,12 105,12 105,12 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-10-31 1 1 105,09 105,09 105,09 105,09 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-01 1 1 105,05 105,05 105,05 105,05 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-02 1 1 104,82 104,82 104,82 104,82 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-03 1 1 104,76 104,76 104,76 104,76 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-04 1 1 104,65 104,65 104,65 104,65 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-07 1 1 104,57 104,57 104,57 104,57 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-08 1 1 104,67 104,67 104,67 104,67 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-09 1 1 104,56 104,56 104,56 104,56 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-10 1 1 104,56 104,56 104,56 104,56 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-11 1 1 104,64 104,64 104,64 104,64 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-14 1 1 104,74 104,74 104,74 104,74 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-15 1 1 104,66 104,66 104,66 104,66 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-16 1 1 104,89 104,89 104,89 104,89 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-17 1 1 104,82 104,82 104,82 104,82 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-18 1 1 104,56 104,56 104,56 104,56 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-21 1 1 104,66 104,66 104,66 104,66 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-22 1 1 104,74 104,74 104,74 104,74 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-23 1 1 104,83 104,83 104,83 104,83 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-24 1 1 105,04 105,04 105,04 105,04 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-25 1 1 104,95 104,95 104,95 104,95 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-28 1 1 105 105 105 105 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-29 1 1 104,97 104,97 104,97 104,97 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-11-30 1 1 104,83 104,83 104,83 104,83 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-01 1 1 105 105 105 105 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-02 1 1 104,77 104,77 104,77 104,77 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-05 1 1 104,7 104,7 104,7 104,7 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-06 1 1 104,68 104,68 104,68 104,68 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-07 1 1 104,76 104,76 104,76 104,76 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-08 1 1 104,71 104,71 104,71 104,71 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-12 1 1 104,62 104,62 104,62 104,62 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-13 1 1 104,71 104,71 104,71 104,71 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-14 1 1 104,85 104,85 104,85 104,85 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-15 1 1 104,87 104,87 104,87 104,87 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-16 1 1 104,92 104,92 104,92 104,92 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-19 1 1 104,98 104,98 104,98 104,98 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-20 1 1 104,96 104,96 104,96 104,96 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-21 1 1 104,79 104,79 104,79 104,79 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-22 1 1 104,77 104,77 104,77 104,77 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-23 1 1 104,82 104,82 104,82 104,82 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-27 1 1 104,97 104,97 104,97 104,97 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-28 1 1 105,01 105,01 105,01 105,01 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-29 1 1 104,95 104,95 104,95 104,95 299750 Folksam Fond AB (publ) Förenade Liv Obligationsfond SEK 2005-12-30 1 1 105,07 105,07 105,07 105,07 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-03 1 1 142,29 142,29 142,29 142,29 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-04 1 1 142,8 142,8 142,8 142,8 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-05 1 1 141,7 141,7 141,7 141,7 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-07 1 1 142,04 142,04 142,04 142,04 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-10 1 1 143,7 143,7 143,7 143,7 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-11 1 1 142,9 142,9 142,9 142,9 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-12 1 1 140,5 140,5 140,5 140,5 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-13 1 1 140,56 140,56 140,56 140,56 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-14 1 1 141,08 141,08 141,08 141,08 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-17 1 1 142,17 142,17 142,17 142,17 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-18 1 1 141,23 141,23 141,23 141,23 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-19 1 1 142,36 142,36 142,36 142,36 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-20 1 1 140,76 140,76 140,76 140,76 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-21 1 1 140,54 140,54 140,54 140,54 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-24 1 1 138,95 138,95 138,95 138,95 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-25 1 1 140,65 140,65 140,65 140,65 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-26 1 1 140,85 140,85 140,85 140,85 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-27 1 1 141,28 141,28 141,28 141,28 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-28 1 1 141,08 141,08 141,08 141,08 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-01-31 1 1 142,04 142,04 142,04 142,04 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-01 1 1 142,33 142,33 142,33 142,33 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-02 1 1 143,63 143,63 143,63 143,63 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-03 1 1 143,42 143,42 143,42 143,42 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-04 1 1 144,46 144,46 144,46 144,46 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-07 1 1 145,88 145,88 145,88 145,88 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-08 1 1 146,12 146,12 146,12 146,12 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-09 1 1 146,57 146,57 146,57 146,57 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-10 1 1 145,13 145,13 145,13 145,13 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-11 1 1 146,14 146,14 146,14 146,14 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-14 1 1 146,81 146,81 146,81 146,81 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-15 1 1 147,5 147,5 147,5 147,5 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-16 1 1 145,83 145,83 145,83 145,83 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-17 1 1 146,88 146,88 146,88 146,88 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-18 1 1 145,72 145,72 145,72 145,72 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-21 1 1 146,25 146,25 146,25 146,25 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-22 1 1 144,86 144,86 144,86 144,86 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-23 1 1 145,46 145,46 145,46 145,46 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-24 1 1 146,17 146,17 146,17 146,17 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-25 1 1 147,03 147,03 147,03 147,03 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-02-28 1 1 147,66 147,66 147,66 147,66 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-01 1 1 147,77 147,77 147,77 147,77 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-02 1 1 147,97 147,97 147,97 147,97 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-03 1 1 149,2 149,2 149,2 149,2 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-04 1 1 149,84 149,84 149,84 149,84 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-07 1 1 149,8 149,8 149,8 149,8 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-08 1 1 149,2 149,2 149,2 149,2 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-09 1 1 148,61 148,61 148,61 148,61 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-10 1 1 147,68 147,68 147,68 147,68 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-11 1 1 144,19 144,19 144,19 144,19 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-14 1 1 143,78 143,78 143,78 143,78 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-15 1 1 144,97 144,97 144,97 144,97 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-16 1 1 143,4 143,4 143,4 143,4 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-17 1 1 142,92 142,92 142,92 142,92 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-18 1 1 143,17 143,17 143,17 143,17 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-21 1 1 142,71 142,71 142,71 142,71 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-22 1 1 143,25 143,25 143,25 143,25 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-23 1 1 142,53 142,53 142,53 142,53 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-24 1 1 143,76 143,76 143,76 143,76 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-29 1 1 143,93 143,93 143,93 143,93 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-30 1 1 143,01 143,01 143,01 143,01 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-03-31 1 1 143,93 143,93 143,93 143,93 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-01 1 1 144,75 144,75 144,75 144,75 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-04 1 1 144,34 144,34 144,34 144,34 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-05 1 1 145,85 145,85 145,85 145,85 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-06 1 1 146,72 146,72 146,72 146,72 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-07 1 1 147,13 147,13 147,13 147,13 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-08 1 1 148,06 148,06 148,06 148,06 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-11 1 1 148,3 148,3 148,3 148,3 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-12 1 1 147,78 147,78 147,78 147,78 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-13 1 1 149,01 149,01 149,01 149,01 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-14 1 1 150,15 150,15 150,15 150,15 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-15 1 1 147,84 147,84 147,84 147,84 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-18 1 1 145,49 145,49 145,49 145,49 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-19 1 1 146,46 146,46 146,46 146,46 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-20 1 1 146,16 146,16 146,16 146,16 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-21 1 1 146,5 146,5 146,5 146,5 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-22 1 1 147,86 147,86 147,86 147,86 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-25 1 1 147,33 147,33 147,33 147,33 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-26 1 1 146,38 146,38 146,38 146,38 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-27 1 1 143,2 143,2 143,2 143,2 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-28 1 1 141,42 141,42 141,42 141,42 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-04-29 1 1 142,8 142,8 142,8 142,8 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-02 1 1 143,56 143,56 143,56 143,56 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-03 1 1 143,71 143,71 143,71 143,71 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-04 1 1 143,71 143,71 143,71 143,71 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-06 1 1 145,38 145,38 145,38 145,38 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-09 1 1 145,54 145,54 145,54 145,54 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-10 1 1 144,85 144,85 144,85 144,85 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-11 1 1 144,87 144,87 144,87 144,87 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-12 1 1 145,57 145,57 145,57 145,57 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-13 1 1 146,36 146,36 146,36 146,36 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-16 1 1 146,37 146,37 146,37 146,37 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-17 1 1 147,32 147,32 147,32 147,32 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-18 1 1 148,39 148,39 148,39 148,39 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-19 1 1 148,77 148,77 148,77 148,77 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-20 1 1 148,7 148,7 148,7 148,7 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-23 1 1 148,8 148,8 148,8 148,8 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-24 1 1 148,96 148,96 148,96 148,96 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-25 1 1 149,25 149,25 149,25 149,25 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-26 1 1 149,9 149,9 149,9 149,9 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-27 1 1 150,24 150,24 150,24 150,24 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-30 1 1 150,53 150,53 150,53 150,53 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-05-31 1 1 150,76 150,76 150,76 150,76 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-01 1 1 150,52 150,52 150,52 150,52 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-02 1 1 149,8 149,8 149,8 149,8 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-03 1 1 149,65 149,65 149,65 149,65 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-07 1 1 150,35 150,35 150,35 150,35 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-08 1 1 151,38 151,38 151,38 151,38 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-09 1 1 151,26 151,26 151,26 151,26 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-10 1 1 152,01 152,01 152,01 152,01 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-13 1 1 152,05 152,05 152,05 152,05 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-14 1 1 153,35 153,35 153,35 153,35 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-15 1 1 153,38 153,38 153,38 153,38 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-16 1 1 153,46 153,46 153,46 153,46 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-17 1 1 154,28 154,28 154,28 154,28 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-20 1 1 154,2 154,2 154,2 154,2 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-21 1 1 154,92 154,92 154,92 154,92 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-22 1 1 155,6 155,6 155,6 155,6 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-23 1 1 156,67 156,67 156,67 156,67 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-27 1 1 153,83 153,83 153,83 153,83 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-28 1 1 154,8 154,8 154,8 154,8 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-29 1 1 155,73 155,73 155,73 155,73 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-06-30 1 1 156,53 156,53 156,53 156,53 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-01 1 1 157,09 157,09 157,09 157,09 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-04 1 1 157,89 157,89 157,89 157,89 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-05 1 1 157,57 157,57 157,57 157,57 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-06 1 1 158,3 158,3 158,3 158,3 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-07 1 1 155,15 155,15 155,15 155,15 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-08 1 1 157,56 157,56 157,56 157,56 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-11 1 1 159,9 159,9 159,9 159,9 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-12 1 1 160,23 160,23 160,23 160,23 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-13 1 1 161,19 161,19 161,19 161,19 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-14 1 1 161,23 161,23 161,23 161,23 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-15 1 1 160,98 160,98 160,98 160,98 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-18 1 1 161,13 161,13 161,13 161,13 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-19 1 1 161,25 161,25 161,25 161,25 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-20 1 1 160,64 160,64 160,64 160,64 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-21 1 1 161,78 161,78 161,78 161,78 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-22 1 1 162,18 162,18 162,18 162,18 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-25 1 1 161,53 161,53 161,53 161,53 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-26 1 1 162,3 162,3 162,3 162,3 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-27 1 1 162,71 162,71 162,71 162,71 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-28 1 1 163,65 163,65 163,65 163,65 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-07-29 1 1 163,74 163,74 163,74 163,74 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-01 1 1 163,82 163,82 163,82 163,82 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-02 1 1 164,61 164,61 164,61 164,61 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-03 1 1 164,36 164,36 164,36 164,36 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-04 1 1 163,63 163,63 163,63 163,63 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-05 1 1 163,39 163,39 163,39 163,39 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-08 1 1 163,11 163,11 163,11 163,11 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-09 1 1 163,26 163,26 163,26 163,26 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-10 1 1 165,53 165,53 165,53 165,53 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-11 1 1 164,56 164,56 164,56 164,56 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-12 1 1 164,06 164,06 164,06 164,06 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-15 1 1 163,82 163,82 163,82 163,82 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-16 1 1 164,09 164,09 164,09 164,09 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-17 1 1 163,34 163,34 163,34 163,34 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-18 1 1 163,46 163,46 163,46 163,46 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-19 1 1 164,74 164,74 164,74 164,74 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-22 1 1 164,8 164,8 164,8 164,8 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-23 1 1 163,4 163,4 163,4 163,4 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-24 1 1 161,18 161,18 161,18 161,18 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-25 1 1 159,68 159,68 159,68 159,68 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-26 1 1 158,35 158,35 158,35 158,35 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-29 1 1 158,93 158,93 158,93 158,93 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-30 1 1 159,82 159,82 159,82 159,82 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-08-31 1 1 160,43 160,43 160,43 160,43 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-01 1 1 161,85 161,85 161,85 161,85 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-02 1 1 161,67 161,67 161,67 161,67 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-05 1 1 162,83 162,83 162,83 162,83 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-06 1 1 163,86 163,86 163,86 163,86 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-07 1 1 164,44 164,44 164,44 164,44 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-08 1 1 163,78 163,78 163,78 163,78 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-09 1 1 164,94 164,94 164,94 164,94 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-12 1 1 165,56 165,56 165,56 165,56 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-13 1 1 164,94 164,94 164,94 164,94 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-14 1 1 165,9 165,9 165,9 165,9 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-15 1 1 165,34 165,34 165,34 165,34 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-16 1 1 165,42 165,42 165,42 165,42 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-19 1 1 166,26 166,26 166,26 166,26 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-20 1 1 165,8 165,8 165,8 165,8 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-21 1 1 164,96 164,96 164,96 164,96 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-22 1 1 164,56 164,56 164,56 164,56 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-23 1 1 165,02 165,02 165,02 165,02 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-26 1 1 167,03 167,03 167,03 167,03 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-27 1 1 167,63 167,63 167,63 167,63 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-28 1 1 168,75 168,75 168,75 168,75 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-29 1 1 168,73 168,73 168,73 168,73 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-09-30 1 1 170,26 170,26 170,26 170,26 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-03 1 1 171,24 171,24 171,24 171,24 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-04 1 1 171,16 171,16 171,16 171,16 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-05 1 1 170,01 170,01 170,01 170,01 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-06 1 1 168,22 168,22 168,22 168,22 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-07 1 1 168 168 168 168 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-10 1 1 168,75 168,75 168,75 168,75 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-11 1 1 169,08 169,08 169,08 169,08 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-12 1 1 167,71 167,71 167,71 167,71 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-13 1 1 165,5 165,5 165,5 165,5 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-14 1 1 165,53 165,53 165,53 165,53 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-17 1 1 165,47 165,47 165,47 165,47 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-18 1 1 164,62 164,62 164,62 164,62 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-19 1 1 162,12 162,12 162,12 162,12 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-20 1 1 163,14 163,14 163,14 163,14 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-21 1 1 161,36 161,36 161,36 161,36 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-24 1 1 163,52 163,52 163,52 163,52 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-25 1 1 165,01 165,01 165,01 165,01 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-26 1 1 165,62 165,62 165,62 165,62 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-27 1 1 164,28 164,28 164,28 164,28 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-28 1 1 163,52 163,52 163,52 163,52 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-10-31 1 1 167,5 167,5 167,5 167,5 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-01 1 1 168,18 168,18 168,18 168,18 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-02 1 1 168,4 168,4 168,4 168,4 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-03 1 1 170,66 170,66 170,66 170,66 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-04 1 1 170,44 170,44 170,44 170,44 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-07 1 1 171,21 171,21 171,21 171,21 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-08 1 1 171,02 171,02 171,02 171,02 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-09 1 1 171,05 171,05 171,05 171,05 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-10 1 1 171,76 171,76 171,76 171,76 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-11 1 1 173,22 173,22 173,22 173,22 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-14 1 1 173,99 173,99 173,99 173,99 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-15 1 1 173,03 173,03 173,03 173,03 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-16 1 1 173,11 173,11 173,11 173,11 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-17 1 1 173,99 173,99 173,99 173,99 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-18 1 1 174,51 174,51 174,51 174,51 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-21 1 1 174,64 174,64 174,64 174,64 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-22 1 1 175,07 175,07 175,07 175,07 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-23 1 1 175,13 175,13 175,13 175,13 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-24 1 1 174,52 174,52 174,52 174,52 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-25 1 1 175,09 175,09 175,09 175,09 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-28 1 1 175,38 175,38 175,38 175,38 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-29 1 1 175,48 175,48 175,48 175,48 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-11-30 1 1 173,94 173,94 173,94 173,94 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-01 1 1 175,87 175,87 175,87 175,87 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-02 1 1 177,54 177,54 177,54 177,54 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-05 1 1 177,55 177,55 177,55 177,55 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-06 1 1 178,3 178,3 178,3 178,3 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-07 1 1 178,29 178,29 178,29 178,29 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-08 1 1 178,41 178,41 178,41 178,41 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-12 1 1 178,9 178,9 178,9 178,9 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-13 1 1 178,65 178,65 178,65 178,65 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-14 1 1 178,22 178,22 178,22 178,22 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-15 1 1 178,21 178,21 178,21 178,21 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-16 1 1 178,65 178,65 178,65 178,65 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-19 1 1 179,25 179,25 179,25 179,25 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-20 1 1 179,09 179,09 179,09 179,09 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-21 1 1 180,46 180,46 180,46 180,46 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-22 1 1 181,01 181,01 181,01 181,01 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-23 1 1 182,73 182,73 182,73 182,73 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-27 1 1 183,73 183,73 183,73 183,73 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-28 1 1 183,46 183,46 183,46 183,46 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-29 1 1 184,15 184,15 184,15 184,15 402990 Folksam Fond AB (publ) Förenade Liv Sverigefond SEK 2005-12-30 1 1 183,34 183,34 183,34 183,34 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-03 1 1 107,64 107,64 107,64 107,64 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-04 1 1 107,85 107,85 107,85 107,85 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-05 1 1 107,82 107,82 107,82 107,82 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-07 1 1 108,62 108,62 108,62 108,62 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-10 1 1 109,15 109,15 109,15 109,15 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-11 1 1 108,6 108,6 108,6 108,6 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-12 1 1 108,57 108,57 108,57 108,57 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-13 1 1 108,31 108,31 108,31 108,31 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-14 1 1 108,85 108,85 108,85 108,85 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-17 1 1 109,45 109,45 109,45 109,45 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-18 1 1 109,47 109,47 109,47 109,47 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-19 1 1 109,58 109,58 109,58 109,58 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-20 1 1 109,03 109,03 109,03 109,03 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-21 1 1 109,15 109,15 109,15 109,15 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-24 1 1 108,33 108,33 108,33 108,33 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-25 1 1 108,96 108,96 108,96 108,96 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-26 1 1 109,6 109,6 109,6 109,6 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-27 1 1 108,8 108,8 108,8 108,8 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-28 1 1 109,72 109,72 109,72 109,72 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-01-31 1 1 110,34 110,34 110,34 110,34 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-01 1 1 110,47 110,47 110,47 110,47 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-02 1 1 110,62 110,62 110,62 110,62 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-03 1 1 110,73 110,73 110,73 110,73 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-04 1 1 111,6 111,6 111,6 111,6 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-07 1 1 113,19 113,19 113,19 113,19 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-08 1 1 113,68 113,68 113,68 113,68 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-09 1 1 113,41 113,41 113,41 113,41 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-10 1 1 113,07 113,07 113,07 113,07 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-11 1 1 113,06 113,06 113,06 113,06 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-14 1 1 113,49 113,49 113,49 113,49 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-15 1 1 113,39 113,39 113,39 113,39 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-16 1 1 112,86 112,86 112,86 112,86 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-17 1 1 113,19 113,19 113,19 113,19 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-18 1 1 112,78 112,78 112,78 112,78 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-21 1 1 113,02 113,02 113,02 113,02 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-22 1 1 111,67 111,67 111,67 111,67 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-23 1 1 110,71 110,71 110,71 110,71 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-24 1 1 110,36 110,36 110,36 110,36 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-25 1 1 111,72 111,72 111,72 111,72 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-02-28 1 1 111,83 111,83 111,83 111,83 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-01 1 1 112,27 112,27 112,27 112,27 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-02 1 1 112,38 112,38 112,38 112,38 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-03 1 1 113,17 113,17 113,17 113,17 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-04 1 1 113,36 113,36 113,36 113,36 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-07 1 1 113,26 113,26 113,26 113,26 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-08 1 1 112,81 112,81 112,81 112,81 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-09 1 1 111,62 111,62 111,62 111,62 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-10 1 1 111 111 111 111 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-11 1 1 109,58 109,58 109,58 109,58 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-14 1 1 108,72 108,72 108,72 108,72 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-15 1 1 110,04 110,04 110,04 110,04 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-16 1 1 109,08 109,08 109,08 109,08 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-17 1 1 108,31 108,31 108,31 108,31 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-18 1 1 108,98 108,98 108,98 108,98 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-21 1 1 109,98 109,98 109,98 109,98 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-22 1 1 110 110 110 110 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-23 1 1 109,16 109,16 109,16 109,16 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-24 1 1 110,1 110,1 110,1 110,1 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-29 1 1 110,26 110,26 110,26 110,26 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-30 1 1 109,96 109,96 109,96 109,96 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-03-31 1 1 111,21 111,21 111,21 111,21 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-01 1 1 111,79 111,79 111,79 111,79 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-04 1 1 111,04 111,04 111,04 111,04 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-05 1 1 112,47 112,47 112,47 112,47 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-06 1 1 112,42 112,42 112,42 112,42 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-07 1 1 112,01 112,01 112,01 112,01 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-08 1 1 113,35 113,35 113,35 113,35 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-11 1 1 112,04 112,04 112,04 112,04 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-12 1 1 111,04 111,04 111,04 111,04 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-13 1 1 111,99 111,99 111,99 111,99 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-14 1 1 111,83 111,83 111,83 111,83 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-15 1 1 111,08 111,08 111,08 111,08 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-18 1 1 108,04 108,04 108,04 108,04 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-19 1 1 108,77 108,77 108,77 108,77 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-20 1 1 108,36 108,36 108,36 108,36 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-21 1 1 107,96 107,96 107,96 107,96 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-22 1 1 108,52 108,52 108,52 108,52 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-25 1 1 109,06 109,06 109,06 109,06 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-26 1 1 108,85 108,85 108,85 108,85 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-27 1 1 108,37 108,37 108,37 108,37 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-28 1 1 108,49 108,49 108,49 108,49 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-04-29 1 1 108,58 108,58 108,58 108,58 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-02 1 1 110,45 110,45 110,45 110,45 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-03 1 1 110,91 110,91 110,91 110,91 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-04 1 1 110,19 110,19 110,19 110,19 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-06 1 1 111,15 111,15 111,15 111,15 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-09 1 1 111,77 111,77 111,77 111,77 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-10 1 1 111,66 111,66 111,66 111,66 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-11 1 1 111,02 111,02 111,02 111,02 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-12 1 1 112,36 112,36 112,36 112,36 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-13 1 1 111,66 111,66 111,66 111,66 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-16 1 1 112,04 112,04 112,04 112,04 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-17 1 1 112,41 112,41 112,41 112,41 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-18 1 1 113,26 113,26 113,26 113,26 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-19 1 1 113,71 113,71 113,71 113,71 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-20 1 1 114,09 114,09 114,09 114,09 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-23 1 1 114,85 114,85 114,85 114,85 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-24 1 1 114,73 114,73 114,73 114,73 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-25 1 1 114,51 114,51 114,51 114,51 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-26 1 1 115,17 115,17 115,17 115,17 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-27 1 1 115,65 115,65 115,65 115,65 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-30 1 1 115,94 115,94 115,94 115,94 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-05-31 1 1 116,31 116,31 116,31 116,31 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-01 1 1 116,79 116,79 116,79 116,79 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-02 1 1 117,98 117,98 117,98 117,98 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-03 1 1 117,71 117,71 117,71 117,71 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-07 1 1 118,25 118,25 118,25 118,25 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-08 1 1 117,94 117,94 117,94 117,94 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-09 1 1 118,43 118,43 118,43 118,43 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-10 1 1 119,2 119,2 119,2 119,2 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-13 1 1 120,33 120,33 120,33 120,33 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-14 1 1 121,23 121,23 121,23 121,23 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-15 1 1 121,89 121,89 121,89 121,89 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-16 1 1 121,81 121,81 121,81 121,81 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-17 1 1 122,37 122,37 122,37 122,37 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-20 1 1 120,63 120,63 120,63 120,63 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-21 1 1 122,12 122,12 122,12 122,12 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-22 1 1 122,24 122,24 122,24 122,24 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-23 1 1 123,78 123,78 123,78 123,78 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-27 1 1 121,91 121,91 121,91 121,91 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-28 1 1 122,88 122,88 122,88 122,88 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-29 1 1 124,29 124,29 124,29 124,29 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-06-30 1 1 124,32 124,32 124,32 124,32 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-01 1 1 124,19 124,19 124,19 124,19 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-04 1 1 125,39 125,39 125,39 125,39 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-05 1 1 125,28 125,28 125,28 125,28 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-06 1 1 125,53 125,53 125,53 125,53 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-07 1 1 123,42 123,42 123,42 123,42 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-08 1 1 125 125 125 125 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-11 1 1 126,25 126,25 126,25 126,25 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-12 1 1 125,19 125,19 125,19 125,19 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-13 1 1 124,5 124,5 124,5 124,5 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-14 1 1 125,74 125,74 125,74 125,74 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-15 1 1 125,33 125,33 125,33 125,33 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-18 1 1 125,36 125,36 125,36 125,36 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-19 1 1 126,93 126,93 126,93 126,93 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-20 1 1 126,27 126,27 126,27 126,27 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-21 1 1 126,47 126,47 126,47 126,47 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-22 1 1 126,22 126,22 126,22 126,22 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-25 1 1 127,48 127,48 127,48 127,48 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-26 1 1 126,93 126,93 126,93 126,93 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-27 1 1 128,43 128,43 128,43 128,43 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-28 1 1 128,26 128,26 128,26 128,26 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-07-29 1 1 127,46 127,46 127,46 127,46 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-01 1 1 126,84 126,84 126,84 126,84 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-02 1 1 126,9 126,9 126,9 126,9 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-03 1 1 126,98 126,98 126,98 126,98 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-04 1 1 125,77 125,77 125,77 125,77 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-05 1 1 124,19 124,19 124,19 124,19 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-08 1 1 124,28 124,28 124,28 124,28 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-09 1 1 124,29 124,29 124,29 124,29 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-10 1 1 125,76 125,76 125,76 125,76 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-11 1 1 125,12 125,12 125,12 125,12 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-12 1 1 124,24 124,24 124,24 124,24 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-15 1 1 124,77 124,77 124,77 124,77 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-16 1 1 125,14 125,14 125,14 125,14 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-17 1 1 125,16 125,16 125,16 125,16 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-18 1 1 124,93 124,93 124,93 124,93 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-19 1 1 126,4 126,4 126,4 126,4 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-22 1 1 127,15 127,15 127,15 127,15 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-23 1 1 126,01 126,01 126,01 126,01 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-24 1 1 125,54 125,54 125,54 125,54 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-25 1 1 123,95 123,95 123,95 123,95 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-26 1 1 123,64 123,64 123,64 123,64 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-29 1 1 123,07 123,07 123,07 123,07 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-30 1 1 124,17 124,17 124,17 124,17 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-08-31 1 1 124,86 124,86 124,86 124,86 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-01 1 1 125,01 125,01 125,01 125,01 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-02 1 1 123,67 123,67 123,67 123,67 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-05 1 1 123,36 123,36 123,36 123,36 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-06 1 1 124,78 124,78 124,78 124,78 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-07 1 1 124,64 124,64 124,64 124,64 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-08 1 1 125,4 125,4 125,4 125,4 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-09 1 1 126,2 126,2 126,2 126,2 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-12 1 1 127,2 127,2 127,2 127,2 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-13 1 1 126,77 126,77 126,77 126,77 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-14 1 1 127,16 127,16 127,16 127,16 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-15 1 1 127,94 127,94 127,94 127,94 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-16 1 1 127,65 127,65 127,65 127,65 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-19 1 1 128,78 128,78 128,78 128,78 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-20 1 1 129,06 129,06 129,06 129,06 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-21 1 1 127,51 127,51 127,51 127,51 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-22 1 1 126,82 126,82 126,82 126,82 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-23 1 1 127,81 127,81 127,81 127,81 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-26 1 1 129,77 129,77 129,77 129,77 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-27 1 1 129,94 129,94 129,94 129,94 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-28 1 1 130,39 130,39 130,39 130,39 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-29 1 1 130,08 130,08 130,08 130,08 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-09-30 1 1 130,53 130,53 130,53 130,53 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-03 1 1 131,08 131,08 131,08 131,08 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-04 1 1 131,05 131,05 131,05 131,05 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-05 1 1 130 130 130 130 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-06 1 1 126,81 126,81 126,81 126,81 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-07 1 1 126,32 126,32 126,32 126,32 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-10 1 1 126,4 126,4 126,4 126,4 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-11 1 1 127,61 127,61 127,61 127,61 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-12 1 1 127,51 127,51 127,51 127,51 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-13 1 1 126,35 126,35 126,35 126,35 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-14 1 1 126,86 126,86 126,86 126,86 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-17 1 1 127,67 127,67 127,67 127,67 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-18 1 1 127,88 127,88 127,88 127,88 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-19 1 1 126,83 126,83 126,83 126,83 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-20 1 1 128,2 128,2 128,2 128,2 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-21 1 1 126,67 126,67 126,67 126,67 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-24 1 1 128,57 128,57 128,57 128,57 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-25 1 1 129,48 129,48 129,48 129,48 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-26 1 1 128,04 128,04 128,04 128,04 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-27 1 1 127,42 127,42 127,42 127,42 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-28 1 1 126,31 126,31 126,31 126,31 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-10-31 1 1 129,64 129,64 129,64 129,64 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-01 1 1 130,51 130,51 130,51 130,51 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-02 1 1 131,03 131,03 131,03 131,03 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-03 1 1 133,34 133,34 133,34 133,34 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-04 1 1 133,39 133,39 133,39 133,39 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-07 1 1 134,58 134,58 134,58 134,58 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-08 1 1 134,85 134,85 134,85 134,85 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-09 1 1 134,21 134,21 134,21 134,21 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-10 1 1 135,09 135,09 135,09 135,09 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-11 1 1 137,1 137,1 137,1 137,1 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-14 1 1 135,72 135,72 135,72 135,72 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-15 1 1 135,9 135,9 135,9 135,9 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-16 1 1 136,14 136,14 136,14 136,14 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-17 1 1 137,82 137,82 137,82 137,82 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-18 1 1 138,41 138,41 138,41 138,41 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-21 1 1 137,17 137,17 137,17 137,17 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-22 1 1 137,71 137,71 137,71 137,71 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-23 1 1 137,17 137,17 137,17 137,17 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-24 1 1 137,46 137,46 137,46 137,46 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-25 1 1 138,07 138,07 138,07 138,07 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-28 1 1 138,18 138,18 138,18 138,18 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-29 1 1 137,11 137,11 137,11 137,11 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-11-30 1 1 137,48 137,48 137,48 137,48 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-01 1 1 138,14 138,14 138,14 138,14 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-02 1 1 139,03 139,03 139,03 139,03 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-05 1 1 138,23 138,23 138,23 138,23 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-06 1 1 137,72 137,72 137,72 137,72 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-07 1 1 138,22 138,22 138,22 138,22 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-08 1 1 136,74 136,74 136,74 136,74 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-12 1 1 137,68 137,68 137,68 137,68 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-13 1 1 137,05 137,05 137,05 137,05 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-14 1 1 136,89 136,89 136,89 136,89 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-15 1 1 137,12 137,12 137,12 137,12 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-16 1 1 137,98 137,98 137,98 137,98 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-19 1 1 137,44 137,44 137,44 137,44 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-20 1 1 136,49 136,49 136,49 136,49 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-21 1 1 139,04 139,04 139,04 139,04 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-22 1 1 139,34 139,34 139,34 139,34 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-23 1 1 139,43 139,43 139,43 139,43 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-27 1 1 140,57 140,57 140,57 140,57 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-28 1 1 138,68 138,68 138,68 138,68 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-29 1 1 138,95 138,95 138,95 138,95 518985 Folksam Fond AB (publ) Förenade Liv Världenfond SEK 2005-12-30 1 1 138,31 138,31 138,31 138,31 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-03 1,0958 1,0942 4916,8013 4916,8013 5387,83086454 5379,96398246 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-04 1,0963 1,0947 4922,2968 4922,2968 5396,31398184 5388,43830696 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-05 1,0923 1,0907 4883,9121 4883,9121 5334,69718683 5326,88292747 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-07 1,0978 1,0962 5000,4598 5000,4598 5489,50476844 5481,50403276 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-10 1,1082 1,1066 5008,6428 5008,6428 5550,57795096 5542,56412248 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-11 1,1082 1,1066 4990,293 4990,293 5530,2427026 5522,2582338 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-12 1,1038 1,1022 4992,6102 4992,6102 5510,84313876 5502,85496244 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-13 1,1023 1,1007 5055,4894 5055,4894 5572,66596562 5564,57718258 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-14 1,1073 1,1057 5099,3177 5099,3177 5646,47448921 5638,31558089 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-17 1,1058 1,1042 5205,8511 5205,8511 5756,63014638 5748,30078462 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-18 1,1083 1,1067 5170,9883 5170,9883 5731,00633289 5722,73275161 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-19 1,1083 1,1067 5227,8866 5227,8866 5794,06671878 5785,70210022 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-20 1,1073 1,1057 5177,612 5177,612 5733,1697676 5724,8855884 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-21 1,1038 1,1022 5227,2973 5227,2973 5769,89075974 5761,52708406 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-24 1,1053 1,1037 5214,6523 5214,6523 5763,75518719 5755,41174351 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-25 1,1063 1,1047 5257,949 5257,949 5816,8689787 5808,4562603 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-26 1,1038 1,1022 5305,7657 5305,7657 5856,50417966 5848,01495454 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-27 1,0988 1,0972 5314,1706 5314,1706 5839,21065528 5830,70798232 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-28 1,1033 1,1017 5353,7416 5353,7416 5906,78310728 5898,21712072 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-01-31 1,1028 1,1012 5259,9478 5259,9478 5800,67043384 5792,25451736 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-01 1,0983 1,0967 5293,7542 5293,7542 5814,13023786 5805,66023114 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-02 1,0988 1,0972 5351,3536 5351,3536 5880,06733568 5871,50516992 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-03 1,0983 1,0967 5368,8071 5368,8071 5896,56083793 5887,97074657 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-04 1,0968 1,0952 5472,3561 5472,3561 6002,08017048 5993,32440072 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-07 1,0938 1,0922 5539,785 5539,785 6059,416833 6050,553177 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-08 1,0898 1,0882 5447,674 5447,674 5936,8751252 5928,1588468 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-09 1,0843 1,0827 5539,7875 5539,7875 6006,79158625 5997,92792625 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-10 1,0848 1,0832 5531,3452 5531,3452 6000,40327296 5991,55312064 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-11 1,0788 1,0772 5588,8142 5588,8142 6029,21275896 6020,27065624 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-14 1,0828 1,0812 5591,9678 5591,9678 6054,98273384 6046,03558536 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-15 1,0833 1,0817 5578,0541 5578,0541 6042,70600653 6033,78111997 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-16 1,0848 1,0832 5525,4952 5525,4952 5994,05719296 5985,21640064 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-17 1,0863 1,0847 5594,8509 5594,8509 6077,68653267 6068,73477123 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-18 1,0943 1,0927 5557,3233 5557,3233 6081,37888719 6072,48716991 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-21 1,0998 1,0982 5529,8463 5529,8463 6081,72496074 6072,87720666 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-22 1,1028 1,1012 5499,3227 5499,3227 6064,65307356 6055,85415724 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-23 1,1023 1,1007 5503,679 5503,679 6066,7053617 6057,8994753 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-24 1,1013 1,0997 5539,2168 5539,2168 6100,33946184 6091,47671496 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-25 1,1018 1,1002 5625,6568 5625,6568 6198,34866224 6189,34761136 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-02-28 1,0968 1,0952 5638,9111 5638,9111 6184,75769448 6175,73543672 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-01 1,1013 1,0997 5635,9145 5635,9145 6206,83263885 6197,81517565 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-02 1,1068 1,1052 5646,3586 5646,3586 6249,38969848 6240,35552472 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-03 1,1058 1,1042 5755,4923 5755,4923 6364,42338534 6355,21459766 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-04 1,1013 1,0997 5859,8186 5859,8186 6453,41822418 6444,04251442 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-07 1,1003 1,0987 5888,5139 5888,5139 6479,13184417 6469,71022193 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-08 1,1033 1,1017 5890,3623 5890,3623 6498,83672559 6489,41214591 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-09 1,1053 1,1037 5890,288 5890,288 6510,5353264 6501,1108656 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-10 1,1053 1,1037 5814,8324 5814,8324 6427,13425172 6417,83051988 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-11 1,1113 1,1097 5853,23 5853,23 6504,694499 6495,329331 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-14 1,1113 1,1097 5843,1575 5843,1575 6493,50092975 6484,15187775 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-15 1,1138 1,1122 5888,0448 5888,0448 6558,10429824 6548,68342656 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-16 1,1128 1,1112 5779,5867 5779,5867 6431,52407976 6422,27674104 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-17 1,1193 1,1177 5844,6327 5844,6327 6541,89738111 6532,54596879 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-18 1,1193 1,1177 5862,7297 5862,7297 6562,15335321 6552,77298569 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-21 1,1218 1,1202 5872,8934 5872,8934 6588,21181612 6578,81518668 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-22 1,1183 1,1167 5847,4414 5847,4414 6539,19371762 6529,83781138 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-23 1,1158 1,1142 5784,8406 5784,8406 6454,72514148 6445,46939652 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-29 1,1103 1,1087 5708,2805 5708,2805 6337,90383915 6328,77059035 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-30 1,1168 1,1152 5663,5943 5663,5943 6325,10211424 6316,04036336 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-03-31 1,1163 1,1147 5769,201 5769,201 6440,1590763 6430,9283547 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-01 1,1173 1,1157 5788,356 5788,356 6467,3301588 6458,0687892 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-04 1,1198 1,1182 5799,0425 5799,0425 6493,7677915 6484,4893235 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-05 1,1223 1,1207 5819,7757 5819,7757 6531,53426811 6522,22262699 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-06 1,1243 1,1227 5857,2273 5857,2273 6585,28065339 6575,90908971 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-07 1,1208 1,1192 5926,8545 5926,8545 6642,8185236 6633,3355564 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-08 1,1208 1,1192 5979,5196 5979,5196 6701,84556768 6692,27833632 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-11 1,1203 1,1187 5973,0172 5973,0172 6691,57116916 6682,01434164 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-12 1,1173 1,1157 6023,346 6023,346 6729,8844858 6720,2471322 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-13 1,1183 1,1167 6029,6244 6029,6244 6742,92896652 6733,28156748 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-14 1,1153 1,1137 5982,695 5982,695 6672,4997335 6662,9274215 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-15 1,1178 1,1162 5827,3416 5827,3416 6513,80244048 6504,47869392 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-18 1,1148 1,1132 5536,2662 5536,2662 6171,82955976 6162,97153384 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-19 1,1213 1,1197 5579,1964 5579,1964 6255,95292332 6247,02620908 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-20 1,1218 1,1202 5604,674 5604,674 6287,3232932 6278,3558148 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-21 1,1253 1,1237 5582,0278 5582,0278 6281,45588334 6272,52463886 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-22 1,1248 1,1232 5642,3518 5642,3518 6346,51730464 6337,48954176 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-25 1,1258 1,1242 5665,8085 5665,8085 6378,5672093 6369,5019157 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-26 1,1243 1,1227 5614,9975 5614,9975 6312,94168925 6303,95769325 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-27 1,1253 1,1237 5461,5095 5461,5095 6145,83664035 6137,09822515 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-28 1,1248 1,1232 5382,9562 5382,9562 6054,74913376 6046,13640384 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-04-29 1,1268 1,1252 5428,8583 5428,8583 6117,23753244 6108,55135916 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-02 1,1313 1,1297 5469,3165 5469,3165 6187,43775645 6178,68685005 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-03 1,1343 1,1327 5494,8238 5494,8238 6232,77863634 6223,98691826 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-04 1,1323 1,1307 5454,9448 5454,9448 6176,63399704 6167,90608536 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-06 1,1313 1,1297 5563,4883 5563,4883 6293,97431379 6285,07273251 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-09 1,1288 1,1272 5600,8282 5600,8282 6322,21487216 6313,25354704 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-10 1,1328 1,1312 5586,4055 5586,4055 6328,2801504 6319,3419016 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-11 1,1398 1,1382 5573,4464 5573,4464 6352,61420672 6343,69669248 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-12 1,1418 1,1402 5551,7581 5551,7581 6338,99739858 6330,11458562 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-13 1,1373 1,1357 5506,4155 5506,4155 6262,44634815 6253,63608335 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-18 1,1373 1,1357 5533,2356 5533,2356 6292,94884788 6284,09567092 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-19 1,1328 1,1312 5572,3937 5572,3937 6312,40758336 6303,49175344 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-20 1,1338 1,1322 5606,1384 5606,1384 6356,23971792 6347,26989648 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-23 1,1303 1,1287 5634,3063 5634,3063 6368,45641089 6359,44152081 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-24 1,1323 1,1307 5661,8283 5661,8283 6410,88818409 6401,82925881 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-25 1,1353 1,1337 5674,1193 5674,1193 6441,82764129 6432,74905041 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-26 1,1478 1,1462 5756,194 5756,194 6606,9594732 6597,7495628 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-27 1,1528 1,1512 5798,0982 5798,0982 6684,04760496 6674,77064784 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-30 1,1538 1,1522 5797,8187 5797,8187 6689,52321606 6680,24670614 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-05-31 1,1488 1,1472 5813,1875 5813,1875 6678,1898 6668,8887 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-01 1,1533 1,1517 5849,1253 5849,1253 6745,79620849 6736,43760801 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-02 1,1563 1,1547 5887,7044 5887,7044 6807,95259772 6798,53227068 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-03 1,1533 1,1517 5929,8536 5929,8536 6838,90015688 6829,41239112 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-07 1,1613 1,1597 5925,5286 5925,5286 6881,31636318 6871,83551742 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-08 1,1593 1,1577 5991,8488 5991,8488 6946,35031384 6936,76335576 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-09 1,1618 1,1602 6039,0593 6039,0593 7016,17909474 7006,51659986 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-10 1,1648 1,1632 6119,0567 6119,0567 7127,47724416 7117,68675344 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-13 1,1778 1,1762 6096,6418 6096,6418 7180,62471204 7170,87008516 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-14 1,1823 1,1807 6155,1485 6155,1485 7277,23207155 7267,38383395 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-15 1,1798 1,1782 6178,1927 6178,1927 7289,03174746 7279,14663914 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-16 1,1773 1,1757 6125,6773 6125,6773 7211,75988529 7201,95880161 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-17 1,1798 1,1782 6180,9215 6180,9215 7292,2511857 7282,3617113 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-20 1,1728 1,1712 6317,2727 6317,2727 7408,89742256 7398,78978624 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-21 1,1803 1,1787 6389,2305 6389,2305 7541,20875915 7530,98599035 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-22 1,1773 1,1757 6385,7475 6385,7475 7517,94053175 7507,72333575 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-23 1,1853 1,1837 6455,8099 6455,8099 7652,07147447 7641,74217863 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-27 1,1838 1,1822 6403,1406 6403,1406 7580,03784228 7569,79281732 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-28 1,1833 1,1817 6561,344 6561,344 7764,0383552 7753,5402048 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-29 1,1888 1,1872 6618,0745 6618,0745 7867,5669656 7856,9780464 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-06-30 1,1933 1,1917 6637,7255 6637,7255 7920,79783915 7910,17747835 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-01 1,1983 1,1967 6676,3872 6676,3872 8000,31478176 7989,63256224 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-04 1,2048 1,2032 6678,4995 6678,4995 8046,2561976 8035,5705984 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-05 1,1983 1,1967 6702,6083 6702,6083 8031,73552589 8021,01135261 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-06 1,1918 1,1902 6826,234 6826,234 8135,5056812 8124,5837068 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-07 1,1883 1,1867 6727,2119 6727,2119 7993,94590077 7983,18236173 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-08 1,1943 1,1927 6855,8304 6855,8304 8187,91824672 8176,94891808 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-11 1,1998 1,1982 6882,9722 6882,9722 8258,19004556 8247,17729004 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-12 1,1983 1,1967 6923,3379 6923,3379 8296,23580557 8285,15846493 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-13 1,1908 1,1892 6980,659 6980,659 8312,5687372 8301,3996828 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-14 1,1838 1,1822 7031,5431 7031,5431 8323,94072178 8312,69025282 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-15 1,1823 1,1807 6974,365 6974,365 8245,7917395 8234,6327555 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-18 1,1808 1,1792 6983,1673 6983,1673 8245,72394784 8234,55088016 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-19 1,1768 1,1752 6952,5707 6952,5707 8181,78519976 8170,66108664 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-20 1,1768 1,1752 6992,3679 6992,3679 8228,61854472 8217,43075608 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-21 1,1863 1,1847 6999,7945 6999,7945 8303,85621535 8292,65654415 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-22 1,1868 1,1852 7036,2704 7036,2704 8350,64571072 8339,38767808 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-25 1,1863 1,1847 7092,761 7092,761 8414,1423743 8402,7939567 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-26 1,1913 1,1897 7107,0486 7107,0486 8466,62699718 8455,25571942 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-27 1,1978 1,1962 7131,3537 7131,3537 8541,93546186 8530,52529594 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-28 1,1928 1,1912 7205,8733 7205,8733 8595,16567224 8583,63627496 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-07-29 1,1883 1,1867 7336,1193 7336,1193 8717,51056419 8705,77277331 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-01 1,1963 1,1947 7422,9775 7422,9775 8880,10798325 8868,23121925 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-02 1,1983 1,1967 7572,8981 7572,8981 9074,60379323 9062,48715627 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-03 1,1933 1,1917 7661,1901 7661,1901 9142,09814633 9129,84024217 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-04 1,1933 1,1917 7631,3114 7631,3114 9106,44389362 9094,23379538 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-05 1,1873 1,1857 7687,1573 7687,1573 9126,96186229 9114,66241061 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-08 1,1783 1,1767 7744,8395 7744,8395 9125,74438285 9113,35263965 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-09 1,1818 1,1802 7792,4078 7792,4078 9209,06753804 9196,59968556 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-10 1,1843 1,1827 7911,2149 7911,2149 9369,25180607 9356,59386223 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-11 1,1828 1,1812 7972,4591 7972,4591 9429,82462348 9417,06868892 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-12 1,1793 1,1777 8062,8567 8062,8567 9508,52690631 9495,62633559 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-15 1,1768 1,1752 8218,196 8218,196 9671,1730528 9658,0239392 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-16 1,1653 1,1637 8063,6527 8063,6527 9396,57449131 9383,67264699 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-17 1,1773 1,1757 7956,9059 7956,9059 9367,66531607 9354,93426663 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-18 1,1773 1,1757 7928,5997 7928,5997 9334,34042681 9321,65466729 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-19 1,1748 1,1732 8048,6765 8048,6765 9455,5851522 9442,7072698 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-22 1,1728 1,1712 8120,6198 8120,6198 9523,86290144 9510,86990976 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-23 1,1708 1,1692 8162,4595 8162,4595 9556,6075826 9543,5476474 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-24 1,1743 1,1727 8029,3477 8029,3477 9428,86300411 9416,01604779 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-25 1,1768 1,1752 8096,3265 8096,3265 9527,7570252 9514,8029028 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-26 1,1773 1,1757 8172,5216 8172,5216 9621,50967968 9608,43364512 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-29 1,1798 1,1782 8279,3385 8279,3385 9767,9635623 9754,7166207 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-30 1,1793 1,1777 8397,7105 8397,7105 9903,41999265 9889,98365585 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-08-31 1,1848 1,1832 8426,1288 8426,1288 9983,27740224 9969,79559616 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-01 1,1888 1,1872 8486,2248 8486,2248 10088,42404224 10074,84608256 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-02 1,1948 1,1932 8429,4765 8429,4765 10071,5385222 10058,0513598 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-05 1,1903 1,1887 8356,2616 8356,2616 9946,45818248 9933,08816392 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-06 1,1898 1,1882 8427,0806 8427,0806 10026,54049788 10013,05716892 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-07 1,1938 1,1922 8423,596 8423,596 10056,0889048 10042,6111512 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-08 1,1988 1,1972 8406,4628 8406,4628 10077,66760464 10064,21726416 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-09 1,2008 1,1992 8423,1338 8423,1338 10114,49906704 10101,02205296 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-12 1,1953 1,1937 8502,0261 8502,0261 10162,47179733 10148,86855557 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-13 1,1938 1,1922 8361,1337 8361,1337 9981,52141106 9968,14359714 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-14 1,1953 1,1937 8377,3329 8377,3329 10013,42601537 10000,02228273 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-15 1,2003 1,1987 8447,3012 8447,3012 10139,29563036 10125,77994844 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-16 1,2008 1,1992 8508,9823 8508,9823 10217,58594584 10203,97157416 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-19 1,1973 1,1957 8614,6948 8614,6948 10314,37408404 10300,59057236 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-20 1,2018 1,2002 8688,1469 8688,1469 10441,41494442 10427,51390938 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-21 1,1988 1,1972 8697,2882 8697,2882 10426,30909416 10412,39343304 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-22 1,2018 1,2002 8673,3805 8673,3805 10423,6686849 10409,7912761 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-23 1,2043 1,2027 8594,3194 8594,3194 10350,13885342 10336,38794238 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-26 1,1993 1,1977 8607,3318 8607,3318 10322,77302774 10309,00129686 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-27 1,2003 1,1987 8600,2288 8600,2288 10322,85462864 10309,09426256 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-28 1,2013 1,1997 8579,1632 8579,1632 10306,14875216 10292,42209104 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-29 1,2023 1,2007 8552,2582 8552,2582 10282,38003386 10268,69642074 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-09-30 1,1918 1,1902 8583,2833 8583,2833 10229,55703694 10215,82378366 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-03 1,1798 1,1782 8645,7481 8645,7481 10200,25360838 10186,42041142 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-04 1,1838 1,1822 8635,7856 8635,7856 10223,04299328 10209,22573632 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-05 1,1788 1,1772 8467,4333 8467,4333 9981,41037404 9967,86248076 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-06 1,1798 1,1782 7999,1904 7999,1904 9437,44483392 9424,64612928 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-07 1,1828 1,1812 7977,3742 7977,3742 9435,63820376 9422,87440504 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-10 1,1808 1,1792 7990,0993 7990,0993 9434,70925344 9421,92509456 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-11 1,1898 1,1882 7907,9106 7907,9106 9408,83203188 9396,17937492 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-12 1,1918 1,1902 7945,5137 7945,5137 9469,46322766 9456,75040574 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-13 1,2023 1,2007 7578,1888 7578,1888 9111,25639424 9099,13129216 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-14 1,2028 1,2012 7327,3752 7327,3752 8813,36689056 8801,64309024 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-17 1,2118 1,2102 7431,6239 7431,6239 9005,64184202 8993,75124378 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-18 1,2118 1,2102 7235,179 7235,179 8767,5899122 8756,0136258 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-19 1,2103 1,2087 6853,767 6853,767 8295,1142001 8284,1481729 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-20 1,2173 1,2157 7096,6823 7096,6823 8638,79136379 8627,43667211 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-21 1,2183 1,2167 7038,9618 7038,9618 8575,56716094 8564,30482206 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-24 1,2243 1,2227 7260,0117 7260,0117 8888,43232431 8876,81630559 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-25 1,2203 1,2187 7278,2929 7278,2929 8881,70082587 8870,05555723 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-26 1,2148 1,2132 7472,7179 7472,7179 9077,85770492 9065,90135628 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-27 1,2228 1,2212 7309,9465 7309,9465 8938,6025802 8926,9066658 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-28 1,2188 1,2172 7230,2133 7230,2133 8812,18397004 8800,61562876 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-10-31 1,2233 1,2217 7388,9971 7388,9971 9038,96015243 9027,13775707 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-01 1,2273 1,2257 7302,651 7302,651 8962,5435723 8950,8593307 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-02 1,2338 1,2322 7339,4418 7339,4418 9055,40329284 9043,66018596 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-03 1,2398 1,2382 7538,4474 7538,4474 9346,16708652 9334,10557068 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-04 1,2308 1,2292 7597,5093 7597,5093 9351,01444644 9338,85843156 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-07 1,2348 1,2332 7608,8878 7608,8878 9395,45465544 9383,28043496 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-08 1,2298 1,2282 7524,107 7524,107 9253,1467886 9241,1082174 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-09 1,2278 1,2262 7503,9374 7503,9374 9213,33433972 9201,32803988 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-10 1,2428 1,2412 7483,6029 7483,6029 9300,62168412 9288,64791948 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-11 1,2453 1,2437 7467,4584 7467,4584 9299,22594552 9287,27801208 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-14 1,2323 1,2307 7437,5158 7437,5158 9165,25072034 9153,35069506 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-15 1,2293 1,2277 7326,2355 7326,2355 9006,14130015 8994,41932335 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-16 1,2298 1,2282 7231,4427 7231,4427 8893,22823246 8881,65792414 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-17 1,2318 1,2302 7415,8413 7415,8413 9134,83331334 9122,96796726 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-18 1,2233 1,2217 7419,0585 7419,0585 9075,73426305 9063,86376945 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-21 1,2168 1,2152 7502,6936 7502,6936 9129,27757248 9117,27326272 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-22 1,2143 1,2127 7575,0041 7575,0041 9198,32747863 9186,20747207 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-23 1,2093 1,2077 7549,3822 7549,3822 9129,46789446 9117,38888294 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-24 1,2083 1,2067 7555,734 7555,734 9129,5933922 9117,5042178 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-25 1,2028 1,2012 7618,4086 7618,4086 9163,42186408 9151,23241032 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-28 1,2068 1,2052 7713,3068 7713,3068 9308,41864624 9296,07735536 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-29 1,1968 1,1952 7732,6294 7732,6294 9254,41086592 9242,03865888 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-11-30 1,1983 1,1967 7774,1945 7774,1945 9315,81726935 9303,37855815 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-01 1,1963 1,1947 7865,2555 7865,2555 9409,20515465 9396,62074585 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-02 1,1993 1,1977 7917,0886 7917,0886 9494,96435798 9482,29701622 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-05 1,1908 1,1892 7973,0154 7973,0154 9494,26673832 9481,50991368 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-06 1,1948 1,1932 8053,5861 8053,5861 9622,42467228 9609,53893452 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-07 1,1833 1,1817 8156,4316 8156,4316 9651,50551228 9638,45522172 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-08 1,1848 1,1832 8205,0112 8205,0112 9721,29726976 9708,16925184 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-12 1,1888 1,1872 8330,8207 8330,8207 9903,67964816 9890,35033504 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-13 1,1853 1,1837 8361,3816 8361,3816 9910,74561048 9897,36739992 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-14 1,1888 1,1872 8325,1556 8325,1556 9896,94497728 9883,62472832 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-15 1,1868 1,1852 8281,4276 8281,4276 9828,39827568 9815,14799152 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-16 1,1943 1,1927 8185,2044 8185,2044 9775,58961492 9762,49328788 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-19 1,1818 1,1802 8109,074 8109,074 9583,3036532 9570,3291348 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-20 1,1728 1,1712 8219,1807 8219,1807 9639,45512496 9626,30443584 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-21 1,1728 1,1712 8382,9227 8382,9227 9831,49174256 9818,07906624 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-22 1,1778 1,1762 8515,9136 8515,9136 10030,04303808 10016,41757632 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-23 1,1738 1,1722 8527,2093 8527,2093 10009,23827634 9995,59474146 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-27 1,1833 1,1817 8532,6855 8532,6855 10096,72675215 10083,07445535 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-28 1,1763 1,1747 8595,7124 8595,7124 10111,13649612 10097,38335628 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-29 1,1718 1,1702 8637,9233 8637,9233 10121,91852294 10108,09784566 821389 ABN AMRO Kapitalforvaltning AS GAMBAK NOK 2005-12-30 1,1768 1,1752 8641,043 8641,043 10168,7794024 10154,9537336 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-03 1 1 194,2 194,2 194,2 194,2 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-04 1 1 198,52 198,52 198,52 198,52 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-05 1 1 201,3 201,3 201,3 201,3 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-07 1 1 204,37 204,37 204,37 204,37 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-10 1 1 207,04 207,04 207,04 207,04 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-11 1 1 209,33 209,33 209,33 209,33 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-12 1 1 213,79 213,79 213,79 213,79 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-13 1 1 215,65 215,65 215,65 215,65 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-14 1 1 219,99 219,99 219,99 219,99 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-17 1 1 226 226 226 226 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-18 1 1 227,57 227,57 227,57 227,57 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-19 1 1 230,92 230,92 230,92 230,92 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-20 1 1 228,76 228,76 228,76 228,76 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-21 1 1 232,57 232,57 232,57 232,57 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-24 1 1 233,78 233,78 233,78 233,78 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-25 1 1 236,62 236,62 236,62 236,62 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-26 1 1 236,44 236,44 236,44 236,44 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-27 1 1 237,99 237,99 237,99 237,99 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-28 1 1 241,12 241,12 241,12 241,12 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-01-31 1 1 242,05 242,05 242,05 242,05 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-01 1 1 245,96 245,96 245,96 245,96 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-02 1 1 247,84 247,84 247,84 247,84 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-03 1 1 248,85 248,85 248,85 248,85 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-04 1 1 248,7 248,7 248,7 248,7 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-07 1 1 247,19 247,19 247,19 247,19 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-08 1 1 245,28 245,28 245,28 245,28 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-09 1 1 241,5 241,5 241,5 241,5 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-10 1 1 241,18 241,18 241,18 241,18 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-11 1 1 239,86 239,86 239,86 239,86 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-14 1 1 247,37 247,37 247,37 247,37 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-15 1 1 246,36 246,36 246,36 246,36 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-16 1 1 243,48 243,48 243,48 243,48 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-17 1 1 243,92 243,92 243,92 243,92 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-18 1 1 245,44 245,44 245,44 245,44 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-21 1 1 247,4 247,4 247,4 247,4 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-22 1 1 245,03 245,03 245,03 245,03 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-23 1 1 248,35 248,35 248,35 248,35 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-24 1 1 250,24 250,24 250,24 250,24 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-25 1 1 252,93 252,93 252,93 252,93 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-02-28 1 1 254,26 254,26 254,26 254,26 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-01 1 1 253,92 253,92 253,92 253,92 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-02 1 1 252,68 252,68 252,68 252,68 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-03 1 1 253,14 253,14 253,14 253,14 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-04 1 1 253,54 253,54 253,54 253,54 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-07 1 1 254,28 254,28 254,28 254,28 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-08 1 1 251,15 251,15 251,15 251,15 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-09 1 1 250,35 250,35 250,35 250,35 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-10 1 1 249,87 249,87 249,87 249,87 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-11 1 1 250,4 250,4 250,4 250,4 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-14 1 1 246,81 246,81 246,81 246,81 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-15 1 1 246,71 246,71 246,71 246,71 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-16 1 1 237,77 237,77 237,77 237,77 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-17 1 1 231,17 231,17 231,17 231,17 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-18 1 1 231,88 231,88 231,88 231,88 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-21 1 1 226,7 226,7 226,7 226,7 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-22 1 1 225,3 225,3 225,3 225,3 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-23 1 1 222,53 222,53 222,53 222,53 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-24 1 1 226,34 226,34 226,34 226,34 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-29 1 1 220,08 220,08 220,08 220,08 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-30 1 1 221,44 221,44 221,44 221,44 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-03-31 1 1 225,1 225,1 225,1 225,1 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-01 1 1 227,09 227,09 227,09 227,09 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-04 1 1 226,03 226,03 226,03 226,03 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-05 1 1 225,87 225,87 225,87 225,87 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-06 1 1 226,91 226,91 226,91 226,91 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-07 1 1 226,28 226,28 226,28 226,28 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-08 1 1 228,1 228,1 228,1 228,1 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-11 1 1 226,08 226,08 226,08 226,08 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-12 1 1 227,9 227,9 227,9 227,9 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-13 1 1 230,81 230,81 230,81 230,81 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-14 1 1 228,87 228,87 228,87 228,87 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-15 1 1 225,91 225,91 225,91 225,91 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-18 1 1 220,58 220,58 220,58 220,58 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-19 1 1 222,91 222,91 222,91 222,91 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-20 1 1 220,24 220,24 220,24 220,24 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-21 1 1 222,22 222,22 222,22 222,22 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-22 1 1 222,93 222,93 222,93 222,93 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-25 1 1 220,9 220,9 220,9 220,9 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-26 1 1 222,22 222,22 222,22 222,22 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-27 1 1 219,22 219,22 219,22 219,22 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-28 1 1 218,96 218,96 218,96 218,96 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-04-29 1 1 220,02 220,02 220,02 220,02 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-02 1 1 220,34 220,34 220,34 220,34 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-03 1 1 222,45 222,45 222,45 222,45 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-04 1 1 224,97 224,97 224,97 224,97 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-06 1 1 226,28 226,28 226,28 226,28 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-09 1 1 225,39 225,39 225,39 225,39 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-10 1 1 224,95 224,95 224,95 224,95 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-11 1 1 224,78 224,78 224,78 224,78 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-12 1 1 226,64 226,64 226,64 226,64 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-13 1 1 227,88 227,88 227,88 227,88 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-16 1 1 227,58 227,58 227,58 227,58 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-17 1 1 226,06 226,06 226,06 226,06 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-18 1 1 226,93 226,93 226,93 226,93 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-19 1 1 226,74 226,74 226,74 226,74 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-20 1 1 227,01 227,01 227,01 227,01 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-23 1 1 224,08 224,08 224,08 224,08 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-24 1 1 222,54 222,54 222,54 222,54 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-25 1 1 222,23 222,23 222,23 222,23 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-26 1 1 221,28 221,28 221,28 221,28 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-27 1 1 224,05 224,05 224,05 224,05 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-30 1 1 222,8 222,8 222,8 222,8 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-05-31 1 1 224,78 224,78 224,78 224,78 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-01 1 1 224,58 224,58 224,58 224,58 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-02 1 1 224,51 224,51 224,51 224,51 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-03 1 1 224,4 224,4 224,4 224,4 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-07 1 1 224,5 224,5 224,5 224,5 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-08 1 1 227,77 227,77 227,77 227,77 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-09 1 1 229,04 229,04 229,04 229,04 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-10 1 1 231,25 231,25 231,25 231,25 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-13 1 1 232,21 232,21 232,21 232,21 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-14 1 1 233,75 233,75 233,75 233,75 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-15 1 1 233,87 233,87 233,87 233,87 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-16 1 1 234,75 234,75 234,75 234,75 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-17 1 1 235,14 235,14 235,14 235,14 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-20 1 1 235,41 235,41 235,41 235,41 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-21 1 1 236,61 236,61 236,61 236,61 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-22 1 1 237,39 237,39 237,39 237,39 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-23 1 1 241,65 241,65 241,65 241,65 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-27 1 1 240,76 240,76 240,76 240,76 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-28 1 1 244,12 244,12 244,12 244,12 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-29 1 1 247,62 247,62 247,62 247,62 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-06-30 1 1 249,35 249,35 249,35 249,35 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-01 1 1 250,33 250,33 250,33 250,33 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-04 1 1 251,3 251,3 251,3 251,3 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-05 1 1 250,66 250,66 250,66 250,66 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-06 1 1 251,39 251,39 251,39 251,39 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-07 1 1 253,91 253,91 253,91 253,91 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-08 1 1 252,88 252,88 252,88 252,88 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-11 1 1 255,96 255,96 255,96 255,96 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-12 1 1 256,99 256,99 256,99 256,99 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-13 1 1 256,9 256,9 256,9 256,9 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-14 1 1 258,69 258,69 258,69 258,69 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-15 1 1 260,68 260,68 260,68 260,68 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-18 1 1 260,62 260,62 260,62 260,62 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-19 1 1 262,63 262,63 262,63 262,63 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-20 1 1 264,6 264,6 264,6 264,6 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-21 1 1 266,01 266,01 266,01 266,01 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-22 1 1 264,71 264,71 264,71 264,71 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-25 1 1 264,92 264,92 264,92 264,92 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-26 1 1 265,14 265,14 265,14 265,14 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-27 1 1 266,36 266,36 266,36 266,36 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-28 1 1 265,72 265,72 265,72 265,72 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-07-29 1 1 266,49 266,49 266,49 266,49 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-01 1 1 267,68 267,68 267,68 267,68 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-02 1 1 267,85 267,85 267,85 267,85 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-03 1 1 270,34 270,34 270,34 270,34 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-04 1 1 271,33 271,33 271,33 271,33 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-05 1 1 271,84 271,84 271,84 271,84 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-08 1 1 270,13 270,13 270,13 270,13 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-09 1 1 270,25 270,25 270,25 270,25 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-10 1 1 269,64 269,64 269,64 269,64 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-11 1 1 265,68 265,68 265,68 265,68 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-12 1 1 261,76 261,76 261,76 261,76 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-15 1 1 262,44 262,44 262,44 262,44 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-16 1 1 263,02 263,02 263,02 263,02 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-17 1 1 259,94 259,94 259,94 259,94 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-18 1 1 259,99 259,99 259,99 259,99 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-19 1 1 262,17 262,17 262,17 262,17 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-22 1 1 263,86 263,86 263,86 263,86 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-23 1 1 264,3 264,3 264,3 264,3 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-24 1 1 262,93 262,93 262,93 262,93 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-25 1 1 263,88 263,88 263,88 263,88 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-26 1 1 262,56 262,56 262,56 262,56 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-29 1 1 263,46 263,46 263,46 263,46 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-30 1 1 265,16 265,16 265,16 265,16 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-08-31 1 1 268,22 268,22 268,22 268,22 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-01 1 1 268,56 268,56 268,56 268,56 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-02 1 1 266 266 266 266 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-05 1 1 265,54 265,54 265,54 265,54 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-06 1 1 265,29 265,29 265,29 265,29 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-07 1 1 265,58 265,58 265,58 265,58 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-08 1 1 265,57 265,57 265,57 265,57 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-09 1 1 268,16 268,16 268,16 268,16 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-12 1 1 271,01 271,01 271,01 271,01 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-13 1 1 272,08 272,08 272,08 272,08 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-14 1 1 272,21 272,21 272,21 272,21 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-15 1 1 275,84 275,84 275,84 275,84 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-16 1 1 277,91 277,91 277,91 277,91 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-19 1 1 279,56 279,56 279,56 279,56 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-20 1 1 280,21 280,21 280,21 280,21 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-21 1 1 281,24 281,24 281,24 281,24 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-22 1 1 281,91 281,91 281,91 281,91 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-23 1 1 284,96 284,96 284,96 284,96 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-26 1 1 286,87 286,87 286,87 286,87 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-27 1 1 287,34 287,34 287,34 287,34 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-28 1 1 284,26 284,26 284,26 284,26 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-29 1 1 285,8 285,8 285,8 285,8 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-09-30 1 1 284,26 284,26 284,26 284,26 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-03 1 1 288,35 288,35 288,35 288,35 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-04 1 1 295,01 295,01 295,01 295,01 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-05 1 1 293,93 293,93 293,93 293,93 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-06 1 1 289,48 289,48 289,48 289,48 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-07 1 1 289,38 289,38 289,38 289,38 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-10 1 1 291,04 291,04 291,04 291,04 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-11 1 1 292,16 292,16 292,16 292,16 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-12 1 1 290,21 290,21 290,21 290,21 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-13 1 1 286,88 286,88 286,88 286,88 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-14 1 1 283,7 283,7 283,7 283,7 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-17 1 1 285,38 285,38 285,38 285,38 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-18 1 1 285,79 285,79 285,79 285,79 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-19 1 1 281,91 281,91 281,91 281,91 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-20 1 1 283,22 283,22 283,22 283,22 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-21 1 1 283,76 283,76 283,76 283,76 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-24 1 1 284,61 284,61 284,61 284,61 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-25 1 1 283,38 283,38 283,38 283,38 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-26 1 1 284,28 284,28 284,28 284,28 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-27 1 1 282,39 282,39 282,39 282,39 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-28 1 1 280,39 280,39 280,39 280,39 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-10-31 1 1 283,65 283,65 283,65 283,65 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-01 1 1 285,59 285,59 285,59 285,59 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-02 1 1 288,13 288,13 288,13 288,13 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-03 1 1 287,36 287,36 287,36 287,36 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-04 1 1 287,36 287,36 287,36 287,36 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-07 1 1 291,19 291,19 291,19 291,19 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-08 1 1 289,17 289,17 289,17 289,17 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-09 1 1 291,26 291,26 291,26 291,26 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-10 1 1 294,12 294,12 294,12 294,12 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-11 1 1 291,72 291,72 291,72 291,72 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-14 1 1 291,6 291,6 291,6 291,6 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-15 1 1 295,01 295,01 295,01 295,01 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-16 1 1 296,17 296,17 296,17 296,17 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-17 1 1 297,51 297,51 297,51 297,51 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-18 1 1 295,97 295,97 295,97 295,97 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-21 1 1 297,31 297,31 297,31 297,31 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-22 1 1 296,93 296,93 296,93 296,93 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-23 1 1 296,22 296,22 296,22 296,22 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-24 1 1 298,06 298,06 298,06 298,06 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-25 1 1 297,55 297,55 297,55 297,55 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-28 1 1 297,78 297,78 297,78 297,78 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-29 1 1 301,24 301,24 301,24 301,24 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-11-30 1 1 302,77 302,77 302,77 302,77 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-01 1 1 302,39 302,39 302,39 302,39 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-02 1 1 300,61 300,61 300,61 300,61 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-05 1 1 300,53 300,53 300,53 300,53 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-06 1 1 297,95 297,95 297,95 297,95 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-07 1 1 297,75 297,75 297,75 297,75 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-08 1 1 298,45 298,45 298,45 298,45 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-12 1 1 295,71 295,71 295,71 295,71 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-13 1 1 294,87 294,87 294,87 294,87 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-14 1 1 293,99 293,99 293,99 293,99 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-15 1 1 292,7 292,7 292,7 292,7 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-16 1 1 293,45 293,45 293,45 293,45 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-19 1 1 293,2 293,2 293,2 293,2 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-20 1 1 293,73 293,73 293,73 293,73 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-21 1 1 296,07 296,07 296,07 296,07 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-22 1 1 299,37 299,37 299,37 299,37 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-23 1 1 301,77 301,77 301,77 301,77 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-27 1 1 302,14 302,14 302,14 302,14 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-28 1 1 300,4 300,4 300,4 300,4 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-29 1 1 303,56 303,56 303,56 303,56 534156 Gustavia Capital Management AB Gustavia Balkan SEK 2005-12-30 1 1 302,47 302,47 302,47 302,47 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-07 1 1 99,5 99,5 99,5 99,5 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-08 1 1 99,45 99,45 99,45 99,45 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-12 1 1 99,71 99,71 99,71 99,71 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-13 1 1 99,39 99,39 99,39 99,39 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-14 1 1 99,26 99,26 99,26 99,26 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-15 1 1 100,35 100,35 100,35 100,35 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-16 1 1 100,87 100,87 100,87 100,87 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-19 1 1 100,92 100,92 100,92 100,92 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-20 1 1 101,44 101,44 101,44 101,44 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-21 1 1 102,3 102,3 102,3 102,3 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-22 1 1 102,55 102,55 102,55 102,55 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-23 1 1 102,93 102,93 102,93 102,93 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-27 1 1 103,02 103,02 103,02 103,02 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-28 1 1 102,15 102,15 102,15 102,15 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-29 1 1 103,02 103,02 103,02 103,02 649491 Gustavia Capital Management AB Gustavia Greater Russia Small/Mid Cap SEK 2005-12-30 1 1 102,78 102,78 102,78 102,78 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-03 1 1 156,95 156,95 156,95 156,95 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-04 1 1 157,75 157,75 157,75 157,75 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-05 1 1 156,67 156,67 156,67 156,67 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-07 1 1 156,86 156,86 156,86 156,86 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-10 1 1 157,64 157,64 157,64 157,64 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-11 1 1 156,89 156,89 156,89 156,89 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-12 1 1 156,06 156,06 156,06 156,06 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-13 1 1 156,57 156,57 156,57 156,57 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-14 1 1 156,88 156,88 156,88 156,88 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-17 1 1 158,08 158,08 158,08 158,08 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-18 1 1 158,03 158,03 158,03 158,03 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-19 1 1 159,14 159,14 159,14 159,14 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-20 1 1 158,98 158,98 158,98 158,98 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-21 1 1 158,13 158,13 158,13 158,13 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-24 1 1 156,93 156,93 156,93 156,93 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-25 1 1 158,09 158,09 158,09 158,09 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-26 1 1 158,63 158,63 158,63 158,63 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-27 1 1 157,97 157,97 157,97 157,97 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-28 1 1 157,7 157,7 157,7 157,7 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-01-31 1 1 157,99 157,99 157,99 157,99 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-01 1 1 159,02 159,02 159,02 159,02 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-02 1 1 160,03 160,03 160,03 160,03 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-03 1 1 160,57 160,57 160,57 160,57 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-04 1 1 160,97 160,97 160,97 160,97 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-07 1 1 162,5 162,5 162,5 162,5 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-08 1 1 162,62 162,62 162,62 162,62 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-09 1 1 162,95 162,95 162,95 162,95 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-10 1 1 161,96 161,96 161,96 161,96 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-11 1 1 163,06 163,06 163,06 163,06 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-14 1 1 164,3 164,3 164,3 164,3 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-15 1 1 165,09 165,09 165,09 165,09 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-16 1 1 164,98 164,98 164,98 164,98 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-17 1 1 165,17 165,17 165,17 165,17 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-18 1 1 166,66 166,66 166,66 166,66 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-21 1 1 167,4 167,4 167,4 167,4 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-22 1 1 167,99 167,99 167,99 167,99 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-23 1 1 168,13 168,13 168,13 168,13 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-24 1 1 168,89 168,89 168,89 168,89 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-25 1 1 170,94 170,94 170,94 170,94 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-02-28 1 1 172,21 172,21 172,21 172,21 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-01 1 1 172,47 172,47 172,47 172,47 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-02 1 1 174,57 174,57 174,57 174,57 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-03 1 1 175,03 175,03 175,03 175,03 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-04 1 1 177,12 177,12 177,12 177,12 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-07 1 1 178,43 178,43 178,43 178,43 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-08 1 1 178,83 178,83 178,83 178,83 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-09 1 1 177,13 177,13 177,13 177,13 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-10 1 1 175,85 175,85 175,85 175,85 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-11 1 1 176,78 176,78 176,78 176,78 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-14 1 1 175,98 175,98 175,98 175,98 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-15 1 1 176,57 176,57 176,57 176,57 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-16 1 1 175,91 175,91 175,91 175,91 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-17 1 1 176,24 176,24 176,24 176,24 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-18 1 1 176,72 176,72 176,72 176,72 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-21 1 1 176,59 176,59 176,59 176,59 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-22 1 1 177,48 177,48 177,48 177,48 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-23 1 1 176,83 176,83 176,83 176,83 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-24 1 1 177,67 177,67 177,67 177,67 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-29 1 1 177,31 177,31 177,31 177,31 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-30 1 1 175,85 175,85 175,85 175,85 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-03-31 1 1 177,64 177,64 177,64 177,64 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-01 1 1 180,5 180,5 180,5 180,5 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-04 1 1 179,72 179,72 179,72 179,72 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-05 1 1 180,54 180,54 180,54 180,54 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-06 1 1 182,21 182,21 182,21 182,21 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-07 1 1 182,09 182,09 182,09 182,09 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-08 1 1 182,91 182,91 182,91 182,91 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-11 1 1 184,44 184,44 184,44 184,44 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-12 1 1 183,43 183,43 183,43 183,43 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-13 1 1 184,22 184,22 184,22 184,22 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-14 1 1 184,6 184,6 184,6 184,6 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-15 1 1 182,17 182,17 182,17 182,17 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-18 1 1 178,51 178,51 178,51 178,51 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-19 1 1 178,81 178,81 178,81 178,81 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-20 1 1 179,79 179,79 179,79 179,79 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-21 1 1 179,21 179,21 179,21 179,21 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-22 1 1 179,71 179,71 179,71 179,71 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-25 1 1 178,89 178,89 178,89 178,89 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-26 1 1 178,7 178,7 178,7 178,7 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-27 1 1 173,43 173,43 173,43 173,43 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-28 1 1 170,12 170,12 170,12 170,12 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-04-29 1 1 170,29 170,29 170,29 170,29 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-02 1 1 171,46 171,46 171,46 171,46 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-03 1 1 171,38 171,38 171,38 171,38 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-04 1 1 171,06 171,06 171,06 171,06 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-06 1 1 171,89 171,89 171,89 171,89 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-09 1 1 171,21 171,21 171,21 171,21 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-10 1 1 170,43 170,43 170,43 170,43 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-11 1 1 169,38 169,38 169,38 169,38 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-12 1 1 170 170 170 170 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-13 1 1 169,88 169,88 169,88 169,88 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-16 1 1 170,26 170,26 170,26 170,26 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-17 1 1 170,53 170,53 170,53 170,53 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-18 1 1 171,4 171,4 171,4 171,4 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-19 1 1 172,01 172,01 172,01 172,01 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-20 1 1 172,57 172,57 172,57 172,57 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-23 1 1 172,93 172,93 172,93 172,93 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-24 1 1 173,74 173,74 173,74 173,74 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-25 1 1 173,75 173,75 173,75 173,75 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-26 1 1 174,14 174,14 174,14 174,14 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-27 1 1 175,25 175,25 175,25 175,25 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-30 1 1 174,94 174,94 174,94 174,94 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-05-31 1 1 175,87 175,87 175,87 175,87 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-01 1 1 175,56 175,56 175,56 175,56 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-02 1 1 174,71 174,71 174,71 174,71 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-03 1 1 176,13 176,13 176,13 176,13 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-07 1 1 176,51 176,51 176,51 176,51 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-08 1 1 177,38 177,38 177,38 177,38 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-09 1 1 177,22 177,22 177,22 177,22 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-10 1 1 179,24 179,24 179,24 179,24 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-13 1 1 180,88 180,88 180,88 180,88 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-14 1 1 182,09 182,09 182,09 182,09 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-15 1 1 181,74 181,74 181,74 181,74 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-16 1 1 182,58 182,58 182,58 182,58 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-17 1 1 183,53 183,53 183,53 183,53 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-20 1 1 183,86 183,86 183,86 183,86 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-21 1 1 184,7 184,7 184,7 184,7 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-22 1 1 186,33 186,33 186,33 186,33 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-23 1 1 186,7 186,7 186,7 186,7 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-27 1 1 183,61 183,61 183,61 183,61 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-28 1 1 184,76 184,76 184,76 184,76 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-29 1 1 186,28 186,28 186,28 186,28 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-06-30 1 1 187,62 187,62 187,62 187,62 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-01 1 1 186,7 186,7 186,7 186,7 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-04 1 1 186,17 186,17 186,17 186,17 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-05 1 1 187,17 187,17 187,17 187,17 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-06 1 1 187,19 187,19 187,19 187,19 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-07 1 1 184,44 184,44 184,44 184,44 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-08 1 1 186,57 186,57 186,57 186,57 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-11 1 1 187,97 187,97 187,97 187,97 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-12 1 1 189,86 189,86 189,86 189,86 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-13 1 1 190,52 190,52 190,52 190,52 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-14 1 1 190,52 190,52 190,52 190,52 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-15 1 1 190,29 190,29 190,29 190,29 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-18 1 1 189,97 189,97 189,97 189,97 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-19 1 1 190,67 190,67 190,67 190,67 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-20 1 1 190,62 190,62 190,62 190,62 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-21 1 1 192,39 192,39 192,39 192,39 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-22 1 1 193,14 193,14 193,14 193,14 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-25 1 1 193,64 193,64 193,64 193,64 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-26 1 1 194,82 194,82 194,82 194,82 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-27 1 1 195 195 195 195 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-28 1 1 195,28 195,28 195,28 195,28 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-07-29 1 1 194,97 194,97 194,97 194,97 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-01 1 1 194,96 194,96 194,96 194,96 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-02 1 1 195,91 195,91 195,91 195,91 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-03 1 1 196,49 196,49 196,49 196,49 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-04 1 1 195,84 195,84 195,84 195,84 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-05 1 1 195,31 195,31 195,31 195,31 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-08 1 1 195,85 195,85 195,85 195,85 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-09 1 1 196,28 196,28 196,28 196,28 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-10 1 1 197,32 197,32 197,32 197,32 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-11 1 1 196,84 196,84 196,84 196,84 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-12 1 1 196,78 196,78 196,78 196,78 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-15 1 1 197,5 197,5 197,5 197,5 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-16 1 1 198,07 198,07 198,07 198,07 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-17 1 1 198,49 198,49 198,49 198,49 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-18 1 1 199,23 199,23 199,23 199,23 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-19 1 1 200,45 200,45 200,45 200,45 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-22 1 1 200,8 200,8 200,8 200,8 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-23 1 1 200,19 200,19 200,19 200,19 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-24 1 1 197,99 197,99 197,99 197,99 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-25 1 1 196,73 196,73 196,73 196,73 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-26 1 1 196,23 196,23 196,23 196,23 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-29 1 1 196,56 196,56 196,56 196,56 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-30 1 1 196,5 196,5 196,5 196,5 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-08-31 1 1 197,68 197,68 197,68 197,68 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-01 1 1 198,68 198,68 198,68 198,68 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-02 1 1 199,17 199,17 199,17 199,17 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-05 1 1 198,97 198,97 198,97 198,97 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-06 1 1 199,53 199,53 199,53 199,53 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-07 1 1 200,72 200,72 200,72 200,72 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-08 1 1 200,05 200,05 200,05 200,05 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-09 1 1 201,39 201,39 201,39 201,39 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-12 1 1 201,73 201,73 201,73 201,73 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-13 1 1 201,81 201,81 201,81 201,81 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-14 1 1 202,72 202,72 202,72 202,72 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-15 1 1 203,94 203,94 203,94 203,94 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-16 1 1 205,18 205,18 205,18 205,18 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-19 1 1 205,99 205,99 205,99 205,99 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-20 1 1 205,21 205,21 205,21 205,21 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-21 1 1 204,6 204,6 204,6 204,6 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-22 1 1 205,13 205,13 205,13 205,13 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-23 1 1 205,75 205,75 205,75 205,75 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-26 1 1 207,59 207,59 207,59 207,59 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-27 1 1 207,61 207,61 207,61 207,61 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-28 1 1 208,4 208,4 208,4 208,4 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-29 1 1 209,81 209,81 209,81 209,81 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-09-30 1 1 211,26 211,26 211,26 211,26 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-03 1 1 212,46 212,46 212,46 212,46 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-04 1 1 211,6 211,6 211,6 211,6 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-05 1 1 211,19 211,19 211,19 211,19 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-06 1 1 208,96 208,96 208,96 208,96 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-07 1 1 211,35 211,35 211,35 211,35 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-10 1 1 214,66 214,66 214,66 214,66 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-11 1 1 214,67 214,67 214,67 214,67 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-12 1 1 213,87 213,87 213,87 213,87 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-13 1 1 211,35 211,35 211,35 211,35 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-14 1 1 210,96 210,96 210,96 210,96 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-17 1 1 211,46 211,46 211,46 211,46 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-18 1 1 212,74 212,74 212,74 212,74 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-19 1 1 209,4 209,4 209,4 209,4 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-20 1 1 209,99 209,99 209,99 209,99 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-21 1 1 207,68 207,68 207,68 207,68 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-24 1 1 208,25 208,25 208,25 208,25 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-25 1 1 210,94 210,94 210,94 210,94 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-26 1 1 210,85 210,85 210,85 210,85 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-27 1 1 210,88 210,88 210,88 210,88 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-28 1 1 210,41 210,41 210,41 210,41 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-10-31 1 1 213,21 213,21 213,21 213,21 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-01 1 1 214,17 214,17 214,17 214,17 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-02 1 1 214,54 214,54 214,54 214,54 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-03 1 1 216,72 216,72 216,72 216,72 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-04 1 1 217,42 217,42 217,42 217,42 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-07 1 1 219,43 219,43 219,43 219,43 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-08 1 1 219,61 219,61 219,61 219,61 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-09 1 1 220,85 220,85 220,85 220,85 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-10 1 1 222,02 222,02 222,02 222,02 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-11 1 1 223,35 223,35 223,35 223,35 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-14 1 1 225,06 225,06 225,06 225,06 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-15 1 1 225,23 225,23 225,23 225,23 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-16 1 1 226,38 226,38 226,38 226,38 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-17 1 1 227,34 227,34 227,34 227,34 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-18 1 1 228,6 228,6 228,6 228,6 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-21 1 1 229,32 229,32 229,32 229,32 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-22 1 1 229,88 229,88 229,88 229,88 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-23 1 1 230,76 230,76 230,76 230,76 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-24 1 1 230,38 230,38 230,38 230,38 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-25 1 1 231,31 231,31 231,31 231,31 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-28 1 1 234,48 234,48 234,48 234,48 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-29 1 1 236,08 236,08 236,08 236,08 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-11-30 1 1 235,03 235,03 235,03 235,03 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-01 1 1 238,05 238,05 238,05 238,05 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-02 1 1 240,59 240,59 240,59 240,59 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-05 1 1 241,69 241,69 241,69 241,69 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-06 1 1 243,29 243,29 243,29 243,29 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-07 1 1 244,2 244,2 244,2 244,2 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-08 1 1 243,76 243,76 243,76 243,76 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-12 1 1 246,56 246,56 246,56 246,56 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-13 1 1 246,56 246,56 246,56 246,56 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-14 1 1 246,09 246,09 246,09 246,09 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-15 1 1 246,67 246,67 246,67 246,67 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-16 1 1 248,16 248,16 248,16 248,16 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-19 1 1 249,56 249,56 249,56 249,56 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-20 1 1 250,16 250,16 250,16 250,16 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-21 1 1 253,91 253,91 253,91 253,91 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-22 1 1 256,71 256,71 256,71 256,71 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-23 1 1 259,03 259,03 259,03 259,03 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-27 1 1 261,71 261,71 261,71 261,71 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-28 1 1 261,33 261,33 261,33 261,33 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-29 1 1 263,65 263,65 263,65 263,65 569988 Gustavia Capital Management AB Gustavia Sverige SEK 2005-12-30 1 1 263,86 263,86 263,86 263,86 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-03 1 1 117,31 117,31 117,31 117,31 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-04 1 1 118,6 118,6 118,6 118,6 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-05 1 1 116,27 116,27 116,27 116,27 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-07 1 1 115,85 115,85 115,85 115,85 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-10 1 1 115,41 115,41 115,41 115,41 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-11 1 1 114,4 114,4 114,4 114,4 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-12 1 1 112,94 112,94 112,94 112,94 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-13 1 1 113,65 113,65 113,65 113,65 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-14 1 1 112,91 112,91 112,91 112,91 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-17 1 1 112,48 112,48 112,48 112,48 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-18 1 1 113,68 113,68 113,68 113,68 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-19 1 1 112,23 112,23 112,23 112,23 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-20 1 1 112,53 112,53 112,53 112,53 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-21 1 1 112,92 112,92 112,92 112,92 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-24 1 1 111,95 111,95 111,95 111,95 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-25 1 1 113,35 113,35 113,35 113,35 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-26 1 1 114,27 114,27 114,27 114,27 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-27 1 1 114,26 114,26 114,26 114,26 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-28 1 1 116,85 116,85 116,85 116,85 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-01-31 1 1 118,61 118,61 118,61 118,61 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-01 1 1 118,96 118,96 118,96 118,96 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-02 1 1 119,43 119,43 119,43 119,43 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-03 1 1 121,44 121,44 121,44 121,44 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-04 1 1 122,27 122,27 122,27 122,27 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-07 1 1 122,62 122,62 122,62 122,62 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-08 1 1 123,7 123,7 123,7 123,7 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-09 1 1 124,73 124,73 124,73 124,73 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-10 1 1 124,53 124,53 124,53 124,53 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-11 1 1 125,01 125,01 125,01 125,01 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-14 1 1 125,32 125,32 125,32 125,32 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-15 1 1 123,78 123,78 123,78 123,78 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-16 1 1 122,12 122,12 122,12 122,12 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-17 1 1 121,62 121,62 121,62 121,62 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-18 1 1 121,48 121,48 121,48 121,48 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-21 1 1 121,41 121,41 121,41 121,41 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-22 1 1 121,14 121,14 121,14 121,14 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-23 1 1 120,85 120,85 120,85 120,85 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-24 1 1 120,28 120,28 120,28 120,28 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-25 1 1 120,77 120,77 120,77 120,77 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-02-28 1 1 121,3 121,3 121,3 121,3 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-01 1 1 120,66 120,66 120,66 120,66 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-02 1 1 122,07 122,07 122,07 122,07 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-03 1 1 123,79 123,79 123,79 123,79 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-04 1 1 124,73 124,73 124,73 124,73 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-07 1 1 123,67 123,67 123,67 123,67 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-08 1 1 124,09 124,09 124,09 124,09 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-09 1 1 122,36 122,36 122,36 122,36 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-10 1 1 122,96 122,96 122,96 122,96 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-11 1 1 122,53 122,53 122,53 122,53 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-14 1 1 122,37 122,37 122,37 122,37 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-15 1 1 122,99 122,99 122,99 122,99 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-16 1 1 122,65 122,65 122,65 122,65 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-17 1 1 121,25 121,25 121,25 121,25 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-18 1 1 121,51 121,51 121,51 121,51 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-21 1 1 122,08 122,08 122,08 122,08 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-22 1 1 120,34 120,34 120,34 120,34 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-23 1 1 119,35 119,35 119,35 119,35 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-24 1 1 118,92 118,92 118,92 118,92 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-29 1 1 118,81 118,81 118,81 118,81 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-30 1 1 119,66 119,66 119,66 119,66 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-03-31 1 1 122,43 122,43 122,43 122,43 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-01 1 1 125,13 125,13 125,13 125,13 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-04 1 1 125,51 125,51 125,51 125,51 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-05 1 1 127,19 127,19 127,19 127,19 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-06 1 1 127,2 127,2 127,2 127,2 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-07 1 1 126,33 126,33 126,33 126,33 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-08 1 1 126,1 126,1 126,1 126,1 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-11 1 1 124,2 124,2 124,2 124,2 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-12 1 1 124,35 124,35 124,35 124,35 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-13 1 1 124,53 124,53 124,53 124,53 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-14 1 1 125,49 125,49 125,49 125,49 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-15 1 1 122,83 122,83 122,83 122,83 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-18 1 1 121,06 121,06 121,06 121,06 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-19 1 1 120,71 120,71 120,71 120,71 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-20 1 1 120,98 120,98 120,98 120,98 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-21 1 1 121,78 121,78 121,78 121,78 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-22 1 1 123,01 123,01 123,01 123,01 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-25 1 1 124,17 124,17 124,17 124,17 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-26 1 1 124,79 124,79 124,79 124,79 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-27 1 1 124,12 124,12 124,12 124,12 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-28 1 1 123,24 123,24 123,24 123,24 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-04-29 1 1 121,3 121,3 121,3 121,3 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-02 1 1 123,08 123,08 123,08 123,08 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-03 1 1 123,55 123,55 123,55 123,55 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-04 1 1 124,53 124,53 124,53 124,53 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-06 1 1 125,96 125,96 125,96 125,96 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-09 1 1 128,52 128,52 128,52 128,52 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-10 1 1 128,84 128,84 128,84 128,84 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-11 1 1 128,58 128,58 128,58 128,58 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-12 1 1 131 131 131 131 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-13 1 1 131,28 131,28 131,28 131,28 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-16 1 1 133,24 133,24 133,24 133,24 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-17 1 1 132,44 132,44 132,44 132,44 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-18 1 1 130,62 130,62 130,62 130,62 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-19 1 1 130,81 130,81 130,81 130,81 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-20 1 1 131,29 131,29 131,29 131,29 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-23 1 1 132,38 132,38 132,38 132,38 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-24 1 1 132,35 132,35 132,35 132,35 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-25 1 1 133,12 133,12 133,12 133,12 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-26 1 1 134,24 134,24 134,24 134,24 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-27 1 1 134,22 134,22 134,22 134,22 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-30 1 1 133,23 133,23 133,23 133,23 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-05-31 1 1 134,36 134,36 134,36 134,36 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-01 1 1 135,01 135,01 135,01 135,01 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-02 1 1 135,33 135,33 135,33 135,33 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-03 1 1 135,21 135,21 135,21 135,21 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-07 1 1 136,78 136,78 136,78 136,78 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-08 1 1 137,21 137,21 137,21 137,21 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-09 1 1 138,89 138,89 138,89 138,89 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-10 1 1 137,99 137,99 137,99 137,99 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-13 1 1 139,82 139,82 139,82 139,82 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-14 1 1 140,64 140,64 140,64 140,64 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-15 1 1 141,7 141,7 141,7 141,7 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-16 1 1 140,59 140,59 140,59 140,59 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-17 1 1 139,66 139,66 139,66 139,66 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-20 1 1 138,48 138,48 138,48 138,48 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-21 1 1 140,87 140,87 140,87 140,87 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-22 1 1 141,06 141,06 141,06 141,06 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-23 1 1 143,69 143,69 143,69 143,69 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-27 1 1 144,4 144,4 144,4 144,4 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-28 1 1 143,12 143,12 143,12 143,12 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-29 1 1 144,96 144,96 144,96 144,96 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-06-30 1 1 145,81 145,81 145,81 145,81 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-01 1 1 147,13 147,13 147,13 147,13 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-04 1 1 150,45 150,45 150,45 150,45 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-05 1 1 150,08 150,08 150,08 150,08 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-06 1 1 150,34 150,34 150,34 150,34 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-07 1 1 147,52 147,52 147,52 147,52 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-08 1 1 149,48 149,48 149,48 149,48 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-11 1 1 152,31 152,31 152,31 152,31 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-12 1 1 150,46 150,46 150,46 150,46 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-13 1 1 149,07 149,07 149,07 149,07 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-14 1 1 148,97 148,97 148,97 148,97 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-15 1 1 150,25 150,25 150,25 150,25 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-18 1 1 152,91 152,91 152,91 152,91 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-19 1 1 155 155 155 155 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-20 1 1 154,4 154,4 154,4 154,4 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-21 1 1 153,61 153,61 153,61 153,61 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-22 1 1 155,74 155,74 155,74 155,74 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-25 1 1 157,32 157,32 157,32 157,32 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-26 1 1 157,32 157,32 157,32 157,32 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-27 1 1 159,43 159,43 159,43 159,43 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-28 1 1 158,47 158,47 158,47 158,47 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-07-29 1 1 156,52 156,52 156,52 156,52 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-01 1 1 156,45 156,45 156,45 156,45 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-02 1 1 158,4 158,4 158,4 158,4 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-03 1 1 159,19 159,19 159,19 159,19 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-04 1 1 159,33 159,33 159,33 159,33 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-05 1 1 158 158 158 158 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-08 1 1 156,68 156,68 156,68 156,68 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-09 1 1 156,13 156,13 156,13 156,13 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-10 1 1 160 160 160 160 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-11 1 1 159,76 159,76 159,76 159,76 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-12 1 1 158,49 158,49 158,49 158,49 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-15 1 1 160 160 160 160 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-16 1 1 161,08 161,08 161,08 161,08 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-17 1 1 163,81 163,81 163,81 163,81 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-18 1 1 163,63 163,63 163,63 163,63 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-19 1 1 164,73 164,73 164,73 164,73 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-22 1 1 164,08 164,08 164,08 164,08 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-23 1 1 160,45 160,45 160,45 160,45 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-24 1 1 159,77 159,77 159,77 159,77 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-25 1 1 159,59 159,59 159,59 159,59 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-26 1 1 160,69 160,69 160,69 160,69 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-29 1 1 159,79 159,79 159,79 159,79 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-30 1 1 163 163 163 163 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-08-31 1 1 164,74 164,74 164,74 164,74 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-01 1 1 163,42 163,42 163,42 163,42 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-02 1 1 161,48 161,48 161,48 161,48 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-05 1 1 162,75 162,75 162,75 162,75 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-06 1 1 163,71 163,71 163,71 163,71 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-07 1 1 162,71 162,71 162,71 162,71 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-08 1 1 166,11 166,11 166,11 166,11 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-09 1 1 166,33 166,33 166,33 166,33 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-12 1 1 168,92 168,92 168,92 168,92 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-13 1 1 169,71 169,71 169,71 169,71 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-14 1 1 170 170 170 170 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-15 1 1 172,57 172,57 172,57 172,57 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-16 1 1 173,3 173,3 173,3 173,3 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-19 1 1 176,09 176,09 176,09 176,09 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-20 1 1 174,63 174,63 174,63 174,63 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-21 1 1 172,94 172,94 172,94 172,94 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-22 1 1 166,31 166,31 166,31 166,31 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-23 1 1 168,31 168,31 168,31 168,31 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-26 1 1 174,58 174,58 174,58 174,58 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-27 1 1 175,59 175,59 175,59 175,59 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-28 1 1 175,87 175,87 175,87 175,87 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-29 1 1 176,09 176,09 176,09 176,09 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-09-30 1 1 175,46 175,46 175,46 175,46 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-03 1 1 177,3 177,3 177,3 177,3 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-04 1 1 179,57 179,57 179,57 179,57 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-05 1 1 177,09 177,09 177,09 177,09 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-06 1 1 172,76 172,76 172,76 172,76 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-07 1 1 171,52 171,52 171,52 171,52 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-10 1 1 170,48 170,48 170,48 170,48 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-11 1 1 170,39 170,39 170,39 170,39 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-12 1 1 171,69 171,69 171,69 171,69 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-13 1 1 169,6 169,6 169,6 169,6 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-14 1 1 165,66 165,66 165,66 165,66 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-17 1 1 165,32 165,32 165,32 165,32 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-18 1 1 165,35 165,35 165,35 165,35 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-19 1 1 162,37 162,37 162,37 162,37 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-20 1 1 159,71 159,71 159,71 159,71 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-21 1 1 161,48 161,48 161,48 161,48 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-24 1 1 162,22 162,22 162,22 162,22 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-25 1 1 163,35 163,35 163,35 163,35 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-26 1 1 161,48 161,48 161,48 161,48 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-27 1 1 158,33 158,33 158,33 158,33 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-28 1 1 155,39 155,39 155,39 155,39 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-10-31 1 1 159,51 159,51 159,51 159,51 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-01 1 1 160,43 160,43 160,43 160,43 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-02 1 1 164,57 164,57 164,57 164,57 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-03 1 1 164,91 164,91 164,91 164,91 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-04 1 1 164,81 164,81 164,81 164,81 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-07 1 1 168,67 168,67 168,67 168,67 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-08 1 1 170,51 170,51 170,51 170,51 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-09 1 1 168,6 168,6 168,6 168,6 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-10 1 1 171,05 171,05 171,05 171,05 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-11 1 1 175,37 175,37 175,37 175,37 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-14 1 1 173,11 173,11 173,11 173,11 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-15 1 1 174,43 174,43 174,43 174,43 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-16 1 1 176,6 176,6 176,6 176,6 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-17 1 1 179,28 179,28 179,28 179,28 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-18 1 1 179,48 179,48 179,48 179,48 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-21 1 1 176,18 176,18 176,18 176,18 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-22 1 1 175,48 175,48 175,48 175,48 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-23 1 1 174,84 174,84 174,84 174,84 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-24 1 1 176,57 176,57 176,57 176,57 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-25 1 1 178,57 178,57 178,57 178,57 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-28 1 1 181,73 181,73 181,73 181,73 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-29 1 1 178,44 178,44 178,44 178,44 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-11-30 1 1 179,06 179,06 179,06 179,06 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-01 1 1 181,79 181,79 181,79 181,79 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-02 1 1 182,59 182,59 182,59 182,59 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-05 1 1 178,9 178,9 178,9 178,9 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-06 1 1 177,95 177,95 177,95 177,95 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-07 1 1 179,23 179,23 179,23 179,23 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-08 1 1 178,99 178,99 178,99 178,99 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-12 1 1 181,34 181,34 181,34 181,34 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-13 1 1 182,93 182,93 182,93 182,93 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-14 1 1 182,08 182,08 182,08 182,08 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-15 1 1 182,11 182,11 182,11 182,11 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-16 1 1 184,66 184,66 184,66 184,66 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-19 1 1 186,84 186,84 186,84 186,84 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-20 1 1 185,87 185,87 185,87 185,87 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-21 1 1 187,66 187,66 187,66 187,66 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-22 1 1 189,32 189,32 189,32 189,32 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-23 1 1 187,63 187,63 187,63 187,63 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-27 1 1 189,06 189,06 189,06 189,06 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-28 1 1 186,3 186,3 186,3 186,3 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-29 1 1 188,31 188,31 188,31 188,31 505586 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Indienfond SEK 2005-12-30 1 1 190,68 190,68 190,68 190,68 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-03 1 1 82,36 82,36 82,36 82,36 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-04 1 1 83,06 83,06 83,06 83,06 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-05 1 1 82,34 82,34 82,34 82,34 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-07 1 1 82,62 82,62 82,62 82,62 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-10 1 1 83,39 83,39 83,39 83,39 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-11 1 1 83,13 83,13 83,13 83,13 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-12 1 1 82,74 82,74 82,74 82,74 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-13 1 1 82,44 82,44 82,44 82,44 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-14 1 1 82,92 82,92 82,92 82,92 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-17 1 1 83,11 83,11 83,11 83,11 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-18 1 1 83,99 83,99 83,99 83,99 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-19 1 1 83,3 83,3 83,3 83,3 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-20 1 1 83,62 83,62 83,62 83,62 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-21 1 1 83,48 83,48 83,48 83,48 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-24 1 1 82,58 82,58 82,58 82,58 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-25 1 1 82,98 82,98 82,98 82,98 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-26 1 1 83,87 83,87 83,87 83,87 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-27 1 1 83,6 83,6 83,6 83,6 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-28 1 1 84,58 84,58 84,58 84,58 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-01-31 1 1 85,78 85,78 85,78 85,78 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-01 1 1 85,41 85,41 85,41 85,41 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-02 1 1 85,38 85,38 85,38 85,38 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-03 1 1 85,76 85,76 85,76 85,76 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-04 1 1 86,2 86,2 86,2 86,2 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-07 1 1 87,16 87,16 87,16 87,16 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-08 1 1 87,94 87,94 87,94 87,94 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-09 1 1 87,61 87,61 87,61 87,61 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-10 1 1 87,44 87,44 87,44 87,44 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-11 1 1 87,09 87,09 87,09 87,09 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-14 1 1 87,67 87,67 87,67 87,67 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-15 1 1 87,71 87,71 87,71 87,71 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-16 1 1 87,84 87,84 87,84 87,84 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-17 1 1 87,61 87,61 87,61 87,61 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-18 1 1 87,73 87,73 87,73 87,73 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-21 1 1 87,74 87,74 87,74 87,74 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-22 1 1 86,74 86,74 86,74 86,74 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-23 1 1 86,52 86,52 86,52 86,52 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-24 1 1 86,26 86,26 86,26 86,26 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-25 1 1 86,96 86,96 86,96 86,96 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-02-28 1 1 86,57 86,57 86,57 86,57 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-01 1 1 86,98 86,98 86,98 86,98 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-02 1 1 86,56 86,56 86,56 86,56 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-03 1 1 87,13 87,13 87,13 87,13 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-04 1 1 86,57 86,57 86,57 86,57 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-07 1 1 86,3 86,3 86,3 86,3 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-08 1 1 86,38 86,38 86,38 86,38 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-09 1 1 85,95 85,95 85,95 85,95 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-10 1 1 86,08 86,08 86,08 86,08 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-11 1 1 86,62 86,62 86,62 86,62 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-14 1 1 86,61 86,61 86,61 86,61 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-15 1 1 86,15 86,15 86,15 86,15 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-16 1 1 86,45 86,45 86,45 86,45 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-17 1 1 85,88 85,88 85,88 85,88 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-18 1 1 86,07 86,07 86,07 86,07 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-21 1 1 86,59 86,59 86,59 86,59 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-22 1 1 86,19 86,19 86,19 86,19 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-23 1 1 85,93 85,93 85,93 85,93 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-24 1 1 86,7 86,7 86,7 86,7 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-29 1 1 86,26 86,26 86,26 86,26 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-30 1 1 85,78 85,78 85,78 85,78 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-03-31 1 1 86,81 86,81 86,81 86,81 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-01 1 1 87,05 87,05 87,05 87,05 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-04 1 1 87,61 87,61 87,61 87,61 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-05 1 1 88,08 88,08 88,08 88,08 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-06 1 1 88,22 88,22 88,22 88,22 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-07 1 1 88,2 88,2 88,2 88,2 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-08 1 1 89,09 89,09 89,09 89,09 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-11 1 1 87,99 87,99 87,99 87,99 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-12 1 1 86,94 86,94 86,94 86,94 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-13 1 1 87,26 87,26 87,26 87,26 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-14 1 1 87,64 87,64 87,64 87,64 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-15 1 1 87,27 87,27 87,27 87,27 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-18 1 1 84,11 84,11 84,11 84,11 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-19 1 1 84,83 84,83 84,83 84,83 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-20 1 1 84,06 84,06 84,06 84,06 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-21 1 1 83,54 83,54 83,54 83,54 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-22 1 1 84,24 84,24 84,24 84,24 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-25 1 1 84,43 84,43 84,43 84,43 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-26 1 1 85,12 85,12 85,12 85,12 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-27 1 1 85,33 85,33 85,33 85,33 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-28 1 1 85,52 85,52 85,52 85,52 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-04-29 1 1 85,86 85,86 85,86 85,86 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-02 1 1 86,71 86,71 86,71 86,71 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-03 1 1 86,72 86,72 86,72 86,72 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-04 1 1 85,95 85,95 85,95 85,95 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-06 1 1 86,08 86,08 86,08 86,08 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-09 1 1 86,21 86,21 86,21 86,21 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-10 1 1 86,47 86,47 86,47 86,47 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-11 1 1 85,34 85,34 85,34 85,34 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-12 1 1 86,14 86,14 86,14 86,14 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-13 1 1 86,24 86,24 86,24 86,24 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-16 1 1 86,63 86,63 86,63 86,63 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-17 1 1 86,07 86,07 86,07 86,07 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-18 1 1 85,62 85,62 85,62 85,62 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-19 1 1 85,8 85,8 85,8 85,8 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-20 1 1 85,8 85,8 85,8 85,8 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-23 1 1 85,82 85,82 85,82 85,82 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-24 1 1 85,73 85,73 85,73 85,73 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-25 1 1 85,59 85,59 85,59 85,59 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-26 1 1 86,12 86,12 86,12 86,12 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-27 1 1 86,84 86,84 86,84 86,84 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-30 1 1 87,36 87,36 87,36 87,36 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-05-31 1 1 88,53 88,53 88,53 88,53 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-01 1 1 88,44 88,44 88,44 88,44 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-02 1 1 88,18 88,18 88,18 88,18 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-03 1 1 88,14 88,14 88,14 88,14 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-07 1 1 88,58 88,58 88,58 88,58 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-08 1 1 89,09 89,09 89,09 89,09 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-09 1 1 89,39 89,39 89,39 89,39 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-10 1 1 89,34 89,34 89,34 89,34 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-13 1 1 90,84 90,84 90,84 90,84 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-14 1 1 90,55 90,55 90,55 90,55 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-15 1 1 90,87 90,87 90,87 90,87 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-16 1 1 90,88 90,88 90,88 90,88 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-17 1 1 90,88 90,88 90,88 90,88 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-20 1 1 90,38 90,38 90,38 90,38 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-21 1 1 91,48 91,48 91,48 91,48 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-22 1 1 92,17 92,17 92,17 92,17 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-23 1 1 93,93 93,93 93,93 93,93 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-27 1 1 92,7 92,7 92,7 92,7 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-28 1 1 92,93 92,93 92,93 92,93 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-29 1 1 93,6 93,6 93,6 93,6 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-06-30 1 1 93,24 93,24 93,24 93,24 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-01 1 1 93,63 93,63 93,63 93,63 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-04 1 1 94,61 94,61 94,61 94,61 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-05 1 1 93,68 93,68 93,68 93,68 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-06 1 1 92,29 92,29 92,29 92,29 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-07 1 1 91,43 91,43 91,43 91,43 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-08 1 1 91,18 91,18 91,18 91,18 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-11 1 1 91,5 91,5 91,5 91,5 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-12 1 1 90,76 90,76 90,76 90,76 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-13 1 1 90,78 90,78 90,78 90,78 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-14 1 1 92,02 92,02 92,02 92,02 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-15 1 1 92,3 92,3 92,3 92,3 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-18 1 1 92,43 92,43 92,43 92,43 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-19 1 1 93,77 93,77 93,77 93,77 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-20 1 1 93,78 93,78 93,78 93,78 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-21 1 1 93,31 93,31 93,31 93,31 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-22 1 1 93,25 93,25 93,25 93,25 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-25 1 1 93,69 93,69 93,69 93,69 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-26 1 1 93,07 93,07 93,07 93,07 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-27 1 1 94,22 94,22 94,22 94,22 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-28 1 1 93,71 93,71 93,71 93,71 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-07-29 1 1 92,7 92,7 92,7 92,7 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-01 1 1 92,43 92,43 92,43 92,43 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-02 1 1 92,19 92,19 92,19 92,19 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-03 1 1 92,27 92,27 92,27 92,27 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-04 1 1 91,93 91,93 91,93 91,93 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-05 1 1 91,15 91,15 91,15 91,15 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-08 1 1 91,37 91,37 91,37 91,37 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-09 1 1 91,14 91,14 91,14 91,14 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-10 1 1 92,02 92,02 92,02 92,02 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-11 1 1 91,46 91,46 91,46 91,46 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-12 1 1 91,55 91,55 91,55 91,55 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-15 1 1 91,74 91,74 91,74 91,74 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-16 1 1 91,88 91,88 91,88 91,88 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-17 1 1 92,67 92,67 92,67 92,67 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-18 1 1 92 92 92 92 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-19 1 1 92,68 92,68 92,68 92,68 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-22 1 1 92,98 92,98 92,98 92,98 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-23 1 1 92,06 92,06 92,06 92,06 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-24 1 1 91,69 91,69 91,69 91,69 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-25 1 1 90,44 90,44 90,44 90,44 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-26 1 1 90,64 90,64 90,64 90,64 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-29 1 1 89,75 89,75 89,75 89,75 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-30 1 1 90,61 90,61 90,61 90,61 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-08-31 1 1 90,49 90,49 90,49 90,49 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-01 1 1 89,84 89,84 89,84 89,84 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-02 1 1 88,22 88,22 88,22 88,22 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-05 1 1 87,77 87,77 87,77 87,77 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-06 1 1 88,6 88,6 88,6 88,6 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-07 1 1 88,61 88,61 88,61 88,61 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-08 1 1 89,38 89,38 89,38 89,38 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-09 1 1 89,9 89,9 89,9 89,9 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-12 1 1 90,53 90,53 90,53 90,53 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-13 1 1 90,41 90,41 90,41 90,41 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-14 1 1 91,05 91,05 91,05 91,05 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-15 1 1 90,86 90,86 90,86 90,86 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-16 1 1 89,87 89,87 89,87 89,87 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-19 1 1 90,62 90,62 90,62 90,62 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-20 1 1 91,44 91,44 91,44 91,44 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-21 1 1 90,93 90,93 90,93 90,93 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-22 1 1 90,27 90,27 90,27 90,27 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-23 1 1 90,59 90,59 90,59 90,59 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-26 1 1 91,73 91,73 91,73 91,73 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-27 1 1 92,29 92,29 92,29 92,29 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-28 1 1 93,11 93,11 93,11 93,11 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-29 1 1 94,12 94,12 94,12 94,12 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-09-30 1 1 94,66 94,66 94,66 94,66 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-03 1 1 95,36 95,36 95,36 95,36 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-04 1 1 95,67 95,67 95,67 95,67 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-05 1 1 95,04 95,04 95,04 95,04 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-06 1 1 93,44 93,44 93,44 93,44 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-07 1 1 92,65 92,65 92,65 92,65 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-10 1 1 93,8 93,8 93,8 93,8 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-11 1 1 94,46 94,46 94,46 94,46 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-12 1 1 93,52 93,52 93,52 93,52 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-13 1 1 93,2 93,2 93,2 93,2 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-14 1 1 92,17 92,17 92,17 92,17 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-17 1 1 91,5 91,5 91,5 91,5 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-18 1 1 92,41 92,41 92,41 92,41 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-19 1 1 91,1 91,1 91,1 91,1 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-20 1 1 91,43 91,43 91,43 91,43 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-21 1 1 90,88 90,88 90,88 90,88 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-24 1 1 91,1 91,1 91,1 91,1 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-25 1 1 90,46 90,46 90,46 90,46 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-26 1 1 88,77 88,77 88,77 88,77 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-27 1 1 87,85 87,85 87,85 87,85 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-28 1 1 87,13 87,13 87,13 87,13 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-10-31 1 1 89,33 89,33 89,33 89,33 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-01 1 1 91,15 91,15 91,15 91,15 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-02 1 1 91,66 91,66 91,66 91,66 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-03 1 1 92,08 92,08 92,08 92,08 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-04 1 1 92,32 92,32 92,32 92,32 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-07 1 1 92,53 92,53 92,53 92,53 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-08 1 1 93,37 93,37 93,37 93,37 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-09 1 1 93,33 93,33 93,33 93,33 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-10 1 1 94,28 94,28 94,28 94,28 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-11 1 1 95,29 95,29 95,29 95,29 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-14 1 1 94,46 94,46 94,46 94,46 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-15 1 1 95,35 95,35 95,35 95,35 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-16 1 1 95,47 95,47 95,47 95,47 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-17 1 1 96,38 96,38 96,38 96,38 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-18 1 1 97,45 97,45 97,45 97,45 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-21 1 1 96,38 96,38 96,38 96,38 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-22 1 1 96,36 96,36 96,36 96,36 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-23 1 1 95,93 95,93 95,93 95,93 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-24 1 1 96,29 96,29 96,29 96,29 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-25 1 1 96,43 96,43 96,43 96,43 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-28 1 1 97,5 97,5 97,5 97,5 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-29 1 1 96,24 96,24 96,24 96,24 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-11-30 1 1 97,2 97,2 97,2 97,2 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-01 1 1 97,46 97,46 97,46 97,46 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-02 1 1 98,43 98,43 98,43 98,43 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-05 1 1 98,42 98,42 98,42 98,42 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-06 1 1 97,83 97,83 97,83 97,83 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-07 1 1 98,22 98,22 98,22 98,22 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-08 1 1 97,62 97,62 97,62 97,62 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-12 1 1 96,39 96,39 96,39 96,39 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-13 1 1 94,91 94,91 94,91 94,91 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-14 1 1 95,55 95,55 95,55 95,55 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-15 1 1 95,72 95,72 95,72 95,72 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-16 1 1 96,24 96,24 96,24 96,24 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-19 1 1 96,16 96,16 96,16 96,16 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-20 1 1 95,32 95,32 95,32 95,32 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-21 1 1 96,49 96,49 96,49 96,49 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-22 1 1 97,01 97,01 97,01 97,01 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-23 1 1 97,35 97,35 97,35 97,35 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-27 1 1 98,16 98,16 98,16 98,16 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-28 1 1 96,74 96,74 96,74 96,74 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-29 1 1 97,41 97,41 97,41 97,41 838383 HQ Fonder Sverige Aktiebolag Hagströmer & Qviberg Kinafond SEK 2005-12-30 1 1 97,4 97,4 97,4 97,4 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-03 1 1 66,52 66,52 66,52 66,52 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-04 1 1 66,74 66,74 66,74 66,74 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-05 1 1 66,02 66,02 66,02 66,02 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-07 1 1 66,34 66,34 66,34 66,34 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-10 1 1 66,85 66,85 66,85 66,85 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-11 1 1 66,52 66,52 66,52 66,52 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-12 1 1 65,73 65,73 65,73 65,73 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-13 1 1 65,38 65,38 65,38 65,38 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-14 1 1 65,69 65,69 65,69 65,69 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-17 1 1 66,05 66,05 66,05 66,05 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-18 1 1 65,62 65,62 65,62 65,62 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-19 1 1 66,22 66,22 66,22 66,22 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-20 1 1 65,37 65,37 65,37 65,37 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-21 1 1 65,21 65,21 65,21 65,21 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-24 1 1 64,56 64,56 64,56 64,56 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-25 1 1 64,88 64,88 64,88 64,88 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-26 1 1 65,06 65,06 65,06 65,06 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-27 1 1 65,72 65,72 65,72 65,72 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-28 1 1 65,35 65,35 65,35 65,35 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-01-31 1 1 65,76 65,76 65,76 65,76 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-01 1 1 65,94 65,94 65,94 65,94 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-02 1 1 66,61 66,61 66,61 66,61 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-03 1 1 66,31 66,31 66,31 66,31 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-04 1 1 66,79 66,79 66,79 66,79 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-07 1 1 67,56 67,56 67,56 67,56 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-08 1 1 67,65 67,65 67,65 67,65 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-09 1 1 68,25 68,25 68,25 68,25 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-10 1 1 67,3 67,3 67,3 67,3 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-11 1 1 67,73 67,73 67,73 67,73 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-14 1 1 68,03 68,03 68,03 68,03 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-15 1 1 68,23 68,23 68,23 68,23 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-16 1 1 67,46 67,46 67,46 67,46 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-17 1 1 68,1 68,1 68,1 68,1 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-18 1 1 67,3 67,3 67,3 67,3 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-21 1 1 67,58 67,58 67,58 67,58 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-22 1 1 66,96 66,96 66,96 66,96 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-23 1 1 67,42 67,42 67,42 67,42 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-24 1 1 67,57 67,57 67,57 67,57 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-25 1 1 68,09 68,09 68,09 68,09 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-02-28 1 1 68,44 68,44 68,44 68,44 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-01 1 1 68,42 68,42 68,42 68,42 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-02 1 1 68,31 68,31 68,31 68,31 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-03 1 1 69,07 69,07 69,07 69,07 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-04 1 1 69,2 69,2 69,2 69,2 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-07 1 1 69,03 69,03 69,03 69,03 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-08 1 1 67,33 67,33 67,33 67,33 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-09 1 1 67,04 67,04 67,04 67,04 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-10 1 1 66,7 66,7 66,7 66,7 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-11 1 1 66,79 66,79 66,79 66,79 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-14 1 1 66,7 66,7 66,7 66,7 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-15 1 1 67,39 67,39 67,39 67,39 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-16 1 1 66,49 66,49 66,49 66,49 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-17 1 1 66,3 66,3 66,3 66,3 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-18 1 1 66,34 66,34 66,34 66,34 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-21 1 1 66,04 66,04 66,04 66,04 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-22 1 1 66,4 66,4 66,4 66,4 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-23 1 1 65,93 65,93 65,93 65,93 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-24 1 1 66,68 66,68 66,68 66,68 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-29 1 1 66,71 66,71 66,71 66,71 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-30 1 1 66,39 66,39 66,39 66,39 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-03-31 1 1 66,84 66,84 66,84 66,84 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-01 1 1 67,11 67,11 67,11 67,11 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-04 1 1 67 67 67 67 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-05 1 1 67,61 67,61 67,61 67,61 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-06 1 1 68,18 68,18 68,18 68,18 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-07 1 1 68,21 68,21 68,21 68,21 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-08 1 1 68,77 68,77 68,77 68,77 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-11 1 1 69,14 69,14 69,14 69,14 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-12 1 1 68,91 68,91 68,91 68,91 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-13 1 1 69,29 69,29 69,29 69,29 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-14 1 1 69,69 69,69 69,69 69,69 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-15 1 1 68,74 68,74 68,74 68,74 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-18 1 1 67,58 67,58 67,58 67,58 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-19 1 1 68,1 68,1 68,1 68,1 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-20 1 1 68,19 68,19 68,19 68,19 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-21 1 1 68,09 68,09 68,09 68,09 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-22 1 1 69,04 69,04 69,04 69,04 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-25 1 1 68,75 68,75 68,75 68,75 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-26 1 1 68,19 68,19 68,19 68,19 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-27 1 1 67,07 67,07 67,07 67,07 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-28 1 1 66,15 66,15 66,15 66,15 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-04-29 1 1 66,73 66,73 66,73 66,73 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-02 1 1 67,18 67,18 67,18 67,18 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-03 1 1 67,04 67,04 67,04 67,04 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-04 1 1 67,32 67,32 67,32 67,32 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-06 1 1 68,15 68,15 68,15 68,15 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-09 1 1 68,29 68,29 68,29 68,29 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-10 1 1 67,94 67,94 67,94 67,94 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-11 1 1 68,23 68,23 68,23 68,23 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-12 1 1 68,48 68,48 68,48 68,48 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-13 1 1 68,6 68,6 68,6 68,6 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-16 1 1 68,46 68,46 68,46 68,46 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-17 1 1 69,04 69,04 69,04 69,04 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-18 1 1 69,59 69,59 69,59 69,59 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-19 1 1 69,7 69,7 69,7 69,7 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-20 1 1 69,86 69,86 69,86 69,86 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-23 1 1 69,74 69,74 69,74 69,74 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-24 1 1 69,82 69,82 69,82 69,82 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-25 1 1 69,89 69,89 69,89 69,89 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-26 1 1 70,17 70,17 70,17 70,17 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-27 1 1 70,38 70,38 70,38 70,38 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-30 1 1 70,47 70,47 70,47 70,47 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-05-31 1 1 70,72 70,72 70,72 70,72 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-01 1 1 70,59 70,59 70,59 70,59 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-02 1 1 70,29 70,29 70,29 70,29 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-03 1 1 70,22 70,22 70,22 70,22 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-07 1 1 70,26 70,26 70,26 70,26 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-08 1 1 70,79 70,79 70,79 70,79 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-09 1 1 70,75 70,75 70,75 70,75 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-10 1 1 71,07 71,07 71,07 71,07 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-13 1 1 71 71 71 71 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-14 1 1 71,48 71,48 71,48 71,48 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-15 1 1 71,8 71,8 71,8 71,8 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-16 1 1 71,62 71,62 71,62 71,62 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-17 1 1 72,04 72,04 72,04 72,04 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-20 1 1 72 72 72 72 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-21 1 1 72,47 72,47 72,47 72,47 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-22 1 1 72,88 72,88 72,88 72,88 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-23 1 1 73,41 73,41 73,41 73,41 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-27 1 1 72,15 72,15 72,15 72,15 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-28 1 1 72,22 72,22 72,22 72,22 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-29 1 1 73,05 73,05 73,05 73,05 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-06-30 1 1 73,35 73,35 73,35 73,35 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-01 1 1 73,38 73,38 73,38 73,38 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-04 1 1 73,99 73,99 73,99 73,99 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-05 1 1 73,8 73,8 73,8 73,8 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-06 1 1 73,96 73,96 73,96 73,96 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-07 1 1 72,64 72,64 72,64 72,64 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-08 1 1 73,58 73,58 73,58 73,58 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-11 1 1 74,78 74,78 74,78 74,78 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-12 1 1 75,12 75,12 75,12 75,12 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-13 1 1 75,52 75,52 75,52 75,52 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-14 1 1 75,55 75,55 75,55 75,55 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-15 1 1 75,57 75,57 75,57 75,57 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-18 1 1 75,36 75,36 75,36 75,36 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-19 1 1 75,43 75,43 75,43 75,43 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-20 1 1 75,09 75,09 75,09 75,09 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-21 1 1 75,62 75,62 75,62 75,62 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-22 1 1 75,87 75,87 75,87 75,87 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-25 1 1 75,61 75,61 75,61 75,61 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-26 1 1 76,26 76,26 76,26 76,26 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-27 1 1 76,36 76,36 76,36 76,36 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-28 1 1 76,87 76,87 76,87 76,87 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-07-29 1 1 76,83 76,83 76,83 76,83 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-01 1 1 76,76 76,76 76,76 76,76 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-02 1 1 77,08 77,08 77,08 77,08 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-03 1 1 76,96 76,96 76,96 76,96 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-04 1 1 76,83 76,83 76,83 76,83 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-05 1 1 76,61 76,61 76,61 76,61 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-08 1 1 76,38 76,38 76,38 76,38 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-09 1 1 76,55 76,55 76,55 76,55 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-10 1 1 77,58 77,58 77,58 77,58 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-11 1 1 77,19 77,19 77,19 77,19 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-12 1 1 77,14 77,14 77,14 77,14 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-15 1 1 77,02 77,02 77,02 77,02 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-16 1 1 77,15 77,15 77,15 77,15 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-17 1 1 76,42 76,42 76,42 76,42 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-18 1 1 76,63 76,63 76,63 76,63 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-19 1 1 77,16 77,16 77,16 77,16 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-22 1 1 77,01 77,01 77,01 77,01 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-23 1 1 76,64 76,64 76,64 76,64 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-24 1 1 75,34 75,34 75,34 75,34 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-25 1 1 74,89 74,89 74,89 74,89 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-26 1 1 74,31 74,31 74,31 74,31 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-29 1 1 74,24 74,24 74,24 74,24 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-30 1 1 74,84 74,84 74,84 74,84 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-08-31 1 1 75,44 75,44 75,44 75,44 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-01 1 1 75,93 75,93 75,93 75,93 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-02 1 1 75,72 75,72 75,72 75,72 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-05 1 1 76,17 76,17 76,17 76,17 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-06 1 1 76,5 76,5 76,5 76,5 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-07 1 1 76,78 76,78 76,78 76,78 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-08 1 1 76,47 76,47 76,47 76,47 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-09 1 1 76,77 76,77 76,77 76,77 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-12 1 1 77,18 77,18 77,18 77,18 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-13 1 1 77,26 77,26 77,26 77,26 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-14 1 1 77,53 77,53 77,53 77,53 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-15 1 1 77,43 77,43 77,43 77,43 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-16 1 1 77,6 77,6 77,6 77,6 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-19 1 1 77,72 77,72 77,72 77,72 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-20 1 1 77,5 77,5 77,5 77,5 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-21 1 1 77,1 77,1 77,1 77,1 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-22 1 1 76,8 76,8 76,8 76,8 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-23 1 1 77,18 77,18 77,18 77,18 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-26 1 1 78,19 78,19 78,19 78,19 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-27 1 1 78,37 78,37 78,37 78,37 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-28 1 1 78,92 78,92 78,92 78,92 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-29 1 1 79,14 79,14 79,14 79,14 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-09-30 1 1 79,68 79,68 79,68 79,68 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-03 1 1 80,09 80,09 80,09 80,09 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-04 1 1 80,26 80,26 80,26 80,26 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-05 1 1 79,78 79,78 79,78 79,78 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-06 1 1 78,87 78,87 78,87 78,87 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-07 1 1 78,92 78,92 78,92 78,92 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-10 1 1 79,32 79,32 79,32 79,32 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-11 1 1 79,39 79,39 79,39 79,39 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-12 1 1 78,69 78,69 78,69 78,69 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-13 1 1 77,7 77,7 77,7 77,7 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-14 1 1 77,93 77,93 77,93 77,93 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-17 1 1 77,72 77,72 77,72 77,72 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-18 1 1 77,26 77,26 77,26 77,26 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-19 1 1 76,24 76,24 76,24 76,24 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-20 1 1 76,65 76,65 76,65 76,65 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-21 1 1 75,78 75,78 75,78 75,78 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-24 1 1 76,44 76,44 76,44 76,44 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-25 1 1 77,39 77,39 77,39 77,39 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-26 1 1 77,59 77,59 77,59 77,59 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-27 1 1 77,13 77,13 77,13 77,13 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-28 1 1 76,71 76,71 76,71 76,71 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-10-31 1 1 78,03 78,03 78,03 78,03 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-01 1 1 78,57 78,57 78,57 78,57 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-02 1 1 78,34 78,34 78,34 78,34 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-03 1 1 79,68 79,68 79,68 79,68 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-04 1 1 79,59 79,59 79,59 79,59 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-07 1 1 80,16 80,16 80,16 80,16 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-08 1 1 80,02 80,02 80,02 80,02 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-09 1 1 79,87 79,87 79,87 79,87 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-10 1 1 80,27 80,27 80,27 80,27 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-11 1 1 80,86 80,86 80,86 80,86 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-14 1 1 81,42 81,42 81,42 81,42 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-15 1 1 80,98 80,98 80,98 80,98 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-16 1 1 80,93 80,93 80,93 80,93 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-17 1 1 81,19 81,19 81,19 81,19 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-18 1 1 81,59 81,59 81,59 81,59 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-21 1 1 81,7 81,7 81,7 81,7 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-22 1 1 81,72 81,72 81,72 81,72 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-23 1 1 81,44 81,44 81,44 81,44 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-24 1 1 81,24 81,24 81,24 81,24 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-25 1 1 81,69 81,69 81,69 81,69 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-28 1 1 82,04 82,04 82,04 82,04 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-29 1 1 81,67 81,67 81,67 81,67 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-11-30 1 1 81,1 81,1 81,1 81,1 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-01 1 1 81,85 81,85 81,85 81,85 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-02 1 1 82,84 82,84 82,84 82,84 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-05 1 1 82,8 82,8 82,8 82,8 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-06 1 1 83,35 83,35 83,35 83,35 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-07 1 1 83,24 83,24 83,24 83,24 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-08 1 1 83,53 83,53 83,53 83,53 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-12 1 1 83,59 83,59 83,59 83,59 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-13 1 1 83,4 83,4 83,4 83,4 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-14 1 1 83,1 83,1 83,1 83,1 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-15 1 1 83,13 83,13 83,13 83,13 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-16 1 1 83,34 83,34 83,34 83,34 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-19 1 1 83,77 83,77 83,77 83,77 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-20 1 1 83,53 83,53 83,53 83,53 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-21 1 1 83,94 83,94 83,94 83,94 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-22 1 1 84,29 84,29 84,29 84,29 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-23 1 1 85,06 85,06 85,06 85,06 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-27 1 1 85,53 85,53 85,53 85,53 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-28 1 1 85,42 85,42 85,42 85,42 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-29 1 1 85,6 85,6 85,6 85,6 593715 Handelsbanken Fonder AB Handelsbanken 30 i Topp Index SEK 2005-12-30 1 1 85,29 85,29 85,29 85,29 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-03 9,0065 9,0015 6,83 6,83 61,514395 61,480245 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-04 9,0345 9,0295 6,84 6,84 61,79598 61,76178 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-05 9,0615 9,0565 6,79 6,79 61,527585 61,493635 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-07 9,0615 9,0565 6,83 6,83 61,890045 61,855895 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-10 9,08619 9,08119 6,84 6,84 62,1495396 62,1153396 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-11 9,08619 9,08119 6,82 6,82 61,9678158 61,9337158 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-12 9,0455 9,0405 6,8 6,8 61,5094 61,4754 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-13 9,0505 9,0455 6,76 6,76 61,18138 61,14758 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-14 9,0455 9,0405 6,8 6,8 61,5094 61,4754 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-17 9,0685 9,0635 6,82 6,82 61,84717 61,81307 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-18 9,0585 9,0535 6,81 6,81 61,688385 61,654335 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-19 9,0225 9,0175 6,85 6,85 61,804125 61,769875 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-20 9,0315 9,0265 6,79 6,79 61,323885 61,289935 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-21 9,0505 9,0455 6,8 6,8 61,5434 61,5094 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-24 9,0655 9,0605 6,78 6,78 61,46409 61,43019 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-25 9,0715 9,0665 6,82 6,82 61,86763 61,83353 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-26 9,0885 9,0835 6,86 6,86 62,34711 62,31281 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-27 9,0675 9,0625 6,87 6,87 62,293725 62,259375 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-28 9,0955 9,0905 6,88 6,88 62,57704 62,54264 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-01-31 9,1075 9,1025 6,92 6,92 63,0239 62,9893 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-01 9,1035 9,0985 6,95 6,95 63,269325 63,234575 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-02 9,0905 9,0855 6,98 6,98 63,45169 63,41679 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-03 9,0695 9,0645 6,99 6,99 63,395805 63,360855 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-04 9,0895 9,0845 7,01 7,01 63,717395 63,682345 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-07 9,0755 9,0705 7,08 7,08 64,25454 64,21914 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-08 9,0895 9,0845 7,07 7,07 64,262765 64,227415 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-09 9,0695 9,0645 7,09 7,09 64,302755 64,267305 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-10 9,0805 9,0755 7,06 7,06 64,10833 64,07303 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-11 9,0935 9,0885 7,08 7,08 64,38198 64,34658 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-14 9,1105 9,1055 7,12 7,12 64,86676 64,83116 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-15 9,0765 9,0715 7,13 7,13 64,715445 64,679795 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-16 9,0705 9,0655 7,12 7,12 64,58196 64,54636 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-17 9,0925 9,0875 7,15 7,15 65,011375 64,975625 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-18 9,0945 9,0895 7,13 7,13 64,843785 64,808135 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-21 9,1185 9,1135 7,12 7,12 64,92372 64,88812 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-22 9,0975 9,0925 7,05 7,05 64,137375 64,102125 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-23 9,1045 9,0995 7,02 7,02 63,91359 63,87849 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-24 9,0715 9,0665 7,05 7,05 63,954075 63,918825 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-25 9,0845 9,0795 7,13 7,13 64,772485 64,736835 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-02-28 9,0505 9,0455 7,18 7,18 64,98259 64,94669 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-01 9,0565 9,0515 7,2 7,2 65,2068 65,1708 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-02 9,0645 9,0595 7,21 7,21 65,355045 65,318995 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-03 9,0675 9,0625 7,23 7,23 65,558025 65,521875 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-04 9,0415 9,0365 7,23 7,23 65,370045 65,333895 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-07 9,0425 9,0375 7,25 7,25 65,558125 65,521875 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-08 9,0345 9,0295 7,24 7,24 65,40978 65,37358 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-09 9,0365 9,0315 7,19 7,19 64,972435 64,936485 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-10 9,0655 9,0605 7,12 7,12 64,54636 64,51076 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-11 9,0795 9,0745 7,14 7,14 64,82763 64,79193 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-14 9,0695 9,0645 7,13 7,13 64,665535 64,629885 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-15 9,1035 9,0985 7,18 7,18 65,36313 65,32723 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-16 9,0975 9,0925 7,11 7,11 64,683225 64,647675 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-17 9,1045 9,0995 7,03 7,03 64,004635 63,969485 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-18 9,1035 9,0985 7,07 7,07 64,361745 64,326395 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-21 9,1265 9,1215 7,07 7,07 64,524355 64,489005 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-22 9,1265 9,1215 7,02 7,02 64,06803 64,03293 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-23 9,1165 9,1115 7,01 7,01 63,906665 63,871615 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-24 9,1135 9,1085 7,05 7,05 64,250175 64,214925 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-29 9,1315 9,1265 7,05 7,05 64,377075 64,341825 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-30 9,1425 9,1375 7,05 7,05 64,454625 64,419375 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-03-31 9,1405 9,1355 7,07 7,07 64,623335 64,587985 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-01 9,1645 9,1595 7,1 7,1 65,06795 65,03245 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-04 9,1695 9,1645 7,05 7,05 64,644975 64,609725 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-05 9,1745 9,1695 7,09 7,09 65,047205 65,011755 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-06 9,1705 9,1655 7,14 7,14 65,47737 65,44167 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-07 9,1505 9,1455 7,17 7,17 65,609085 65,573235 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-08 9,1625 9,1575 7,23 7,23 66,244875 66,208725 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-11 9,1705 9,1655 7,2 7,2 66,0276 65,9916 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-12 9,1525 9,1475 7,17 7,17 65,623425 65,587575 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-13 9,1495 9,1445 7,19 7,19 65,784905 65,748955 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-14 9,1685 9,1635 7,18 7,18 65,82983 65,79393 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-15 9,1925 9,1875 7,08 7,08 65,0829 65,0475 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-18 9,1805 9,1755 6,95 6,95 63,804475 63,769725 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-19 9,2035 9,1985 6,99 6,99 64,332465 64,297515 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-20 9,1915 9,1865 6,99 6,99 64,248585 64,213635 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-21 9,1855 9,1805 6,97 6,97 64,022935 63,988085 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-22 9,1625 9,1575 7,02 7,02 64,32075 64,28565 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-25 9,1685 9,1635 7,02 7,02 64,36287 64,32777 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-26 9,1375 9,1325 7,02 7,02 64,14525 64,11015 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-27 9,1465 9,1415 6,96 6,96 63,65964 63,62484 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-28 9,1505 9,1455 6,94 6,94 63,50447 63,46977 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-04-29 9,1705 9,1655 6,94 6,94 63,64327 63,60857 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-02 9,1935 9,1885 6,98 6,98 64,17063 64,13573 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-03 9,2245 9,2195 6,98 6,98 64,38701 64,35211 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-04 9,1915 9,1865 6,99 6,99 64,248585 64,213635 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-06 9,1715 9,1665 7,08 7,08 64,93422 64,89882 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-09 9,1815 9,1765 7,07 7,07 64,913205 64,877855 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-10 9,1985 9,1935 7,04 7,04 64,75744 64,72224 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-11 9,2105 9,2055 7,02 7,02 64,65771 64,62261 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-12 9,2315 9,2265 7,05 7,05 65,082075 65,046825 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-13 9,2045 9,1995 7,02 7,02 64,61559 64,58049 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-16 9,2145 9,2095 7,01 7,01 64,593645 64,558595 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-17 9,2325 9,2275 7,01 7,01 64,719825 64,684775 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-18 9,2095 9,2045 7,08 7,08 65,20326 65,16786 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-19 9,1905 9,1855 7,15 7,15 65,712075 65,676325 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-20 9,1955 9,1905 7,16 7,16 65,83978 65,80398 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-23 9,1805 9,1755 7,19 7,19 66,007795 65,971845 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-24 9,1815 9,1765 7,18 7,18 65,92317 65,88727 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-25 9,1785 9,1735 7,19 7,19 65,993415 65,957465 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-26 9,1945 9,1895 7,23 7,23 66,476235 66,440085 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-27 9,1955 9,1905 7,24 7,24 66,57542 66,53922 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-30 9,1905 9,1855 7,28 7,28 66,90684 66,87044 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-05-31 9,1665 9,1615 7,32 7,32 67,09878 67,06218 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-01 9,1455 9,1405 7,33 7,33 67,036515 66,999865 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-02 9,1565 9,1515 7,4 7,4 67,7581 67,7211 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-03 9,1315 9,1265 7,4 7,4 67,5731 67,5361 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-07 9,1455 9,1405 7,41 7,41 67,768155 67,731105 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-08 9,1455 9,1405 7,42 7,42 67,85961 67,82251 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-09 9,1965 9,1915 7,41 7,41 68,146065 68,109015 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-10 9,1975 9,1925 7,49 7,49 68,889275 68,851825 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-13 9,2365 9,2315 7,48 7,48 69,08902 69,05162 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-14 9,2985 9,2935 7,51 7,51 69,831735 69,794185 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-15 9,2695 9,2645 7,52 7,52 69,70664 69,66904 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-16 9,2695 9,2645 7,52 7,52 69,70664 69,66904 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-17 9,2695 9,2645 7,57 7,57 70,170115 70,132265 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-20 9,2255 9,2205 7,55 7,55 69,652525 69,614775 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-21 9,2725 9,2675 7,59 7,59 70,378275 70,340325 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-22 9,2615 9,2565 7,62 7,62 70,57263 70,53453 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-23 9,3535 9,3485 7,64 7,64 71,46074 71,42254 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-27 9,3855 9,3805 7,51 7,51 70,485105 70,447555 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-28 9,3995 9,3945 7,56 7,56 71,06022 71,02242 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-29 9,4215 9,4165 7,62 7,62 71,79183 71,75373 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-06-30 9,4415 9,4365 7,62 7,62 71,94423 71,90613 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-01 9,4595 9,4545 7,62 7,62 72,08139 72,04329 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-04 9,4795 9,4745 7,7 7,7 72,99215 72,95365 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-05 9,4575 9,4525 7,68 7,68 72,6336 72,5952 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-06 9,4195 9,4145 7,75 7,75 73,001125 72,962375 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-07 9,3965 9,3915 7,58 7,58 71,22547 71,18757 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-08 9,4175 9,4125 7,71 7,71 72,608925 72,570375 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-11 9,4665 9,4615 7,79 7,79 73,744035 73,705085 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-12 9,4645 9,4595 7,76 7,76 73,44452 73,40572 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-13 9,3915 9,3865 7,8 7,8 73,2537 73,2147 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-14 9,3675 9,3625 7,87 7,87 73,722225 73,682875 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-15 9,4055 9,4005 7,85 7,85 73,833175 73,793925 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-18 9,3895 9,3845 7,84 7,84 73,61368 73,57448 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-19 9,4425 9,4375 7,85 7,85 74,123625 74,084375 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-20 9,4265 9,4215 7,83 7,83 73,809495 73,770345 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-21 9,4625 9,4575 7,85 7,85 74,280625 74,241375 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-22 9,4495 9,4445 7,81 7,81 73,800595 73,761545 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-25 9,4275 9,4225 7,86 7,86 74,10015 74,06085 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-26 9,4155 9,4105 7,9 7,9 74,38245 74,34295 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-27 9,4725 9,4675 7,91 7,91 74,927475 74,887925 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-28 9,4515 9,4465 7,94 7,94 75,04491 75,00521 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-07-29 9,3885 9,3835 7,97 7,97 74,826345 74,786495 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-01 9,3985 9,3935 7,95 7,95 74,718075 74,678325 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-02 9,3995 9,3945 7,98 7,98 75,00801 74,96811 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-03 9,3755 9,3705 8,01 8,01 75,097755 75,057705 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-04 9,3735 9,3685 7,96 7,96 74,61306 74,57326 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-05 9,3355 9,3305 7,97 7,97 74,403935 74,364085 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-08 9,3335 9,3285 7,99 7,99 74,574665 74,534715 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-09 9,3455 9,3405 7,98 7,98 74,57709 74,53719 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-10 9,3535 9,3485 8,07 8,07 75,482745 75,442395 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-11 9,3365 9,3315 8,05 8,05 75,158825 75,118575 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-12 9,3025 9,2975 8,04 8,04 74,7921 74,7519 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-15 9,3065 9,3015 8,04 8,04 74,82426 74,78406 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-16 9,2995 9,2945 8,01 8,01 74,488995 74,448945 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-17 9,3405 9,3355 7,96 7,96 74,35038 74,31058 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-18 9,3365 9,3315 7,96 7,96 74,31854 74,27874 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-19 9,3395 9,3345 8 8 74,716 74,676 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-22 9,3655 9,3605 8,02 8,02 75,11131 75,07121 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-23 9,3715 9,3665 7,99 7,99 74,878285 74,838335 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-24 9,3365 9,3315 7,94 7,94 74,13181 74,09211 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-25 9,3335 9,3285 7,9 7,9 73,73465 73,69515 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-26 9,3415 9,3365 7,9 7,9 73,79785 73,75835 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-29 9,3295 9,3245 7,83 7,83 73,049985 73,010835 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-30 9,3285 9,3235 7,9 7,9 73,69515 73,65565 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-08-31 9,3585 9,3535 7,93 7,93 74,212905 74,173255 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-01 9,3365 9,3315 8 8 74,692 74,652 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-02 9,3025 9,2975 7,98 7,98 74,23395 74,19405 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-05 9,2845 9,2795 8,02 8,02 74,46169 74,42159 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-06 9,3225 9,3175 8,08 8,08 75,3258 75,2854 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-07 9,3075 9,3025 8,11 8,11 75,483825 75,443275 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-08 9,3255 9,3205 8,11 8,11 75,629805 75,589255 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-09 9,3445 9,3395 8,14 8,14 76,06423 76,02353 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-12 9,3015 9,2965 8,17 8,17 75,993255 75,952405 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-13 9,3015 9,2965 8,13 8,13 75,621195 75,580545 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-14 9,3365 9,3315 8,12 8,12 75,81238 75,77178 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-15 9,3425 9,3375 8,15 8,15 76,141375 76,100625 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-16 9,3465 9,3415 8,2 8,2 76,6413 76,6003 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-19 9,3355 9,3305 8,24 8,24 76,92452 76,88332 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-20 9,3395 9,3345 8,26 8,26 77,14427 77,10297 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-21 9,3405 9,3355 8,2 8,2 76,5921 76,5511 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-22 9,3405 9,3355 8,14 8,14 76,03167 75,99097 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-23 9,3695 9,3645 8,19 8,19 76,736205 76,695255 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-26 9,3815 9,3765 8,27 8,27 77,585005 77,543655 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-27 9,3885 9,3835 8,28 8,28 77,73678 77,69538 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-28 9,3935 9,3885 8,32 8,32 78,15392 78,11232 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-29 9,3845 9,3795 8,33 8,33 78,172885 78,131235 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-09-30 9,3435 9,3385 8,37 8,37 78,205095 78,163245 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-03 9,3025 9,2975 8,44 8,44 78,5131 78,4709 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-04 9,3185 9,3135 8,43 8,43 78,554955 78,512805 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-05 9,3105 9,3055 8,41 8,41 78,301305 78,259255 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-06 9,3015 9,2965 8,24 8,24 76,64436 76,60316 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-07 9,3385 9,3335 8,19 8,19 76,482315 76,441365 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-10 9,3465 9,3415 8,24 8,24 77,01516 76,97396 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-11 9,3395 9,3345 8,27 8,27 77,237665 77,196315 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-12 9,3375 9,3325 8,21 8,21 76,660875 76,619825 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-13 9,3815 9,3765 8,09 8,09 75,896335 75,855885 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-14 9,4135 9,4085 8,08 8,08 76,06108 76,02068 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-17 9,4575 9,4525 8,12 8,12 76,7949 76,7543 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-18 9,4625 9,4575 8,12 8,12 76,8355 76,7949 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-19 9,4605 9,4555 7,95 7,95 75,210975 75,171225 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-20 9,4935 9,4885 8,03 8,03 76,232805 76,192655 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-21 9,4915 9,4865 7,94 7,94 75,36251 75,32281 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-24 9,5455 9,5405 8,01 8,01 76,459455 76,419405 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-25 9,5465 9,5415 8,03 8,03 76,658395 76,618245 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-26 9,4975 9,4925 8,03 8,03 76,264925 76,224775 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-27 9,5355 9,5305 7,98 7,98 76,09329 76,05339 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-28 9,5135 9,5085 7,93 7,93 75,442055 75,402405 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-10-31 9,5495 9,5445 8,09 8,09 77,255455 77,215005 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-01 9,5495 9,5445 8,15 8,15 77,828425 77,787675 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-02 9,5855 9,5805 8,13 8,13 77,930115 77,889465 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-03 9,6515 9,6465 8,27 8,27 79,817905 79,776555 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-04 9,5875 9,5825 8,31 8,31 79,672125 79,630575 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-07 9,6075 9,6025 8,32 8,32 79,9344 79,8928 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-08 9,5685 9,5635 8,37 8,37 80,088345 80,046495 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-09 9,5575 9,5525 8,35 8,35 79,805125 79,763375 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-10 9,6105 9,6055 8,36 8,36 80,34378 80,30198 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-11 9,6365 9,6315 8,39 8,39 80,850235 80,808285 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-14 9,5505 9,5455 8,43 8,43 80,510715 80,468565 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-15 9,5805 9,5755 8,39 8,39 80,380395 80,338445 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-16 9,6235 9,6185 8,33 8,33 80,163755 80,122105 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-17 9,6355 9,6305 8,41 8,41 81,034555 80,992505 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-18 9,6085 9,6035 8,46 8,46 81,28791 81,24561 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-21 9,5915 9,5865 8,43 8,43 80,856345 80,814195 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-22 9,5585 9,5535 8,48 8,48 81,05608 81,01368 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-23 9,5155 9,5105 8,51 8,51 80,976905 80,934355 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-24 9,5125 9,5075 8,49 8,49 80,761125 80,718675 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-25 9,4965 9,4915 8,53 8,53 81,005145 80,962495 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-28 9,4835 9,4785 8,56 8,56 81,17876 81,13596 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-29 9,4785 9,4735 8,52 8,52 80,75682 80,71422 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-11-30 9,5295 9,5245 8,48 8,48 80,81016 80,76776 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-01 9,5165 9,5115 8,54 8,54 81,27091 81,22821 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-02 9,4905 9,4855 8,64 8,64 81,99792 81,95472 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-05 9,4065 9,4015 8,65 8,65 81,366225 81,322975 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-07 9,4255 9,4205 8,69 8,69 81,907595 81,864145 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-08 9,3965 9,3915 8,62 8,62 80,99783 80,95473 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-12 9,4315 9,4265 8,64 8,64 81,48816 81,44496 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-13 9,4295 9,4245 8,67 8,67 81,753765 81,710415 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-14 9,4365 9,4315 8,65 8,65 81,625725 81,582475 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-15 9,4345 9,4295 8,62 8,62 81,32539 81,28229 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-16 9,4765 9,4715 8,66 8,66 82,06649 82,02319 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-19 9,4535 9,4485 8,68 8,68 82,05638 82,01298 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-20 9,4015 9,3965 8,69 8,69 81,699035 81,655585 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-21 9,4485 9,4435 8,74 8,74 82,57989 82,53619 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-22 9,4365 9,4315 8,74 8,74 82,47501 82,43131 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-23 9,4425 9,4375 8,75 8,75 82,621875 82,578125 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-27 9,4915 9,4865 8,78 8,78 83,33537 83,29147 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-28 9,4345 9,4295 8,78 8,78 82,83491 82,79101 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-29 9,4115 9,4065 8,79 8,79 82,727085 82,683135 327734 Handelsbanken Fondbolag Ab Handelsbanken Europa Aggressiv EUR 2005-12-30 9,4325 9,4275 8,78 8,78 82,81735 82,77345 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-03 1 1 66,75 66,75 66,75 66,75 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-04 1 1 67,13 67,13 67,13 67,13 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-05 1 1 66,82 66,82 66,82 66,82 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-07 1 1 67,28 67,28 67,28 67,28 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-10 1 1 67,45 67,45 67,45 67,45 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-11 1 1 66,96 66,96 66,96 66,96 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-12 1 1 67,03 67,03 67,03 67,03 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-13 1 1 66,55 66,55 66,55 66,55 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-14 1 1 67 67 67 67 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-17 1 1 67,19 67,19 67,19 67,19 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-18 1 1 66,97 66,97 66,97 66,97 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-19 1 1 67,39 67,39 67,39 67,39 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-20 1 1 66,9 66,9 66,9 66,9 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-21 1 1 67,12 67,12 67,12 67,12 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-24 1 1 66,96 66,96 66,96 66,96 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-25 1 1 67,47 67,47 67,47 67,47 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-26 1 1 67,83 67,83 67,83 67,83 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-27 1 1 67,84 67,84 67,84 67,84 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-28 1 1 68,13 68,13 68,13 68,13 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-01-31 1 1 68,45 68,45 68,45 68,45 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-01 1 1 68,65 68,65 68,65 68,65 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-02 1 1 68,94 68,94 68,94 68,94 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-03 1 1 68,9 68,9 68,9 68,9 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-04 1 1 69,21 69,21 69,21 69,21 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-07 1 1 69,9 69,9 69,9 69,9 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-08 1 1 69,97 69,97 69,97 69,97 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-09 1 1 70,29 70,29 70,29 70,29 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-10 1 1 70,12 70,12 70,12 70,12 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-11 1 1 70,43 70,43 70,43 70,43 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-14 1 1 70,85 70,85 70,85 70,85 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-15 1 1 70,81 70,81 70,81 70,81 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-16 1 1 70,49 70,49 70,49 70,49 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-17 1 1 71,05 71,05 71,05 71,05 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-18 1 1 70,97 70,97 70,97 70,97 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-21 1 1 71,09 71,09 71,09 71,09 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-22 1 1 69,16 69,16 69,16 69,16 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-23 1 1 68,95 68,95 68,95 68,95 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-24 1 1 68,75 68,75 68,75 68,75 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-25 1 1 69,26 69,26 69,26 69,26 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-02-28 1 1 69,43 69,43 69,43 69,43 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-01 1 1 69,44 69,44 69,44 69,44 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-02 1 1 69,54 69,54 69,54 69,54 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-03 1 1 69,64 69,64 69,64 69,64 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-04 1 1 69,76 69,76 69,76 69,76 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-07 1 1 69,84 69,84 69,84 69,84 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-08 1 1 69,88 69,88 69,88 69,88 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-09 1 1 69,37 69,37 69,37 69,37 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-10 1 1 68,91 68,91 68,91 68,91 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-11 1 1 69,05 69,05 69,05 69,05 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-14 1 1 68,92 68,92 68,92 68,92 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-15 1 1 69,59 69,59 69,59 69,59 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-16 1 1 68,96 68,96 68,96 68,96 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-17 1 1 68,88 68,88 68,88 68,88 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-18 1 1 69,24 69,24 69,24 69,24 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-21 1 1 69,37 69,37 69,37 69,37 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-22 1 1 68,91 68,91 68,91 68,91 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-23 1 1 68,61 68,61 68,61 68,61 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-24 1 1 68,87 68,87 68,87 68,87 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-29 1 1 69,16 69,16 69,16 69,16 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-30 1 1 69,33 69,33 69,33 69,33 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-03-31 1 1 69,68 69,68 69,68 69,68 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-01 1 1 70 70 70 70 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-04 1 1 69,5 69,5 69,5 69,5 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-05 1 1 69,96 69,96 69,96 69,96 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-06 1 1 70,32 70,32 70,32 70,32 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-07 1 1 70,36 70,36 70,36 70,36 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-08 1 1 70,9 70,9 70,9 70,9 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-11 1 1 70,69 70,69 70,69 70,69 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-12 1 1 70,43 70,43 70,43 70,43 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-13 1 1 70,65 70,65 70,65 70,65 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-14 1 1 70,62 70,62 70,62 70,62 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-15 1 1 69,89 69,89 69,89 69,89 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-18 1 1 68,69 68,69 68,69 68,69 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-19 1 1 69,08 69,08 69,08 69,08 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-20 1 1 69,12 69,12 69,12 69,12 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-21 1 1 68,73 68,73 68,73 68,73 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-22 1 1 69,01 69,01 69,01 69,01 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-25 1 1 69,01 69,01 69,01 69,01 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-26 1 1 68,8 68,8 68,8 68,8 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-27 1 1 68,28 68,28 68,28 68,28 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-28 1 1 68,11 68,11 68,11 68,11 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-04-29 1 1 68,58 68,58 68,58 68,58 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-02 1 1 68,98 68,98 68,98 68,98 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-03 1 1 69,36 69,36 69,36 69,36 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-04 1 1 68,99 68,99 68,99 68,99 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-06 1 1 69,8 69,8 69,8 69,8 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-09 1 1 69,91 69,91 69,91 69,91 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-10 1 1 69,63 69,63 69,63 69,63 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-11 1 1 69,71 69,71 69,71 69,71 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-12 1 1 70,14 70,14 70,14 70,14 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-13 1 1 69,8 69,8 69,8 69,8 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-16 1 1 69,82 69,82 69,82 69,82 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-17 1 1 69,79 69,79 69,79 69,79 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-18 1 1 70,33 70,33 70,33 70,33 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-19 1 1 70,74 70,74 70,74 70,74 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-20 1 1 70,87 70,87 70,87 70,87 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-23 1 1 71,07 71,07 71,07 71,07 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-24 1 1 71,04 71,04 71,04 71,04 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-25 1 1 71,1 71,1 71,1 71,1 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-26 1 1 71,63 71,63 71,63 71,63 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-27 1 1 71,51 71,51 71,51 71,51 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-30 1 1 71,69 71,69 71,69 71,69 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-05-31 1 1 71,85 71,85 71,85 71,85 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-01 1 1 71,97 71,97 71,97 71,97 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-02 1 1 72,52 72,52 72,52 72,52 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-03 1 1 72,53 72,53 72,53 72,53 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-07 1 1 72,43 72,43 72,43 72,43 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-08 1 1 73,34 73,34 73,34 73,34 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-09 1 1 73,04 73,04 73,04 73,04 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-10 1 1 73,99 73,99 73,99 73,99 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-13 1 1 74,18 74,18 74,18 74,18 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-14 1 1 74,53 74,53 74,53 74,53 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-15 1 1 74,57 74,57 74,57 74,57 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-16 1 1 74,5 74,5 74,5 74,5 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-17 1 1 74,75 74,75 74,75 74,75 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-20 1 1 74,21 74,21 74,21 74,21 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-21 1 1 74,91 74,91 74,91 74,91 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-22 1 1 75,44 75,44 75,44 75,44 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-23 1 1 76,34 76,34 76,34 76,34 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-27 1 1 75,11 75,11 75,11 75,11 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-28 1 1 75,7 75,7 75,7 75,7 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-29 1 1 76,45 76,45 76,45 76,45 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-06-30 1 1 76,33 76,33 76,33 76,33 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-01 1 1 76,75 76,75 76,75 76,75 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-04 1 1 77,27 77,27 77,27 77,27 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-05 1 1 76,71 76,71 76,71 76,71 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-06 1 1 76,81 76,81 76,81 76,81 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-07 1 1 75,37 75,37 75,37 75,37 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-08 1 1 76,69 76,69 76,69 76,69 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-11 1 1 77,58 77,58 77,58 77,58 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-12 1 1 77,26 77,26 77,26 77,26 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-13 1 1 76,84 76,84 76,84 76,84 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-14 1 1 77,64 77,64 77,64 77,64 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-15 1 1 77,61 77,61 77,61 77,61 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-18 1 1 77,16 77,16 77,16 77,16 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-19 1 1 77,68 77,68 77,68 77,68 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-20 1 1 77,6 77,6 77,6 77,6 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-21 1 1 77,94 77,94 77,94 77,94 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-22 1 1 77,65 77,65 77,65 77,65 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-25 1 1 77,83 77,83 77,83 77,83 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-26 1 1 78,52 78,52 78,52 78,52 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-27 1 1 78,58 78,58 78,58 78,58 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-28 1 1 78,46 78,46 78,46 78,46 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-07-29 1 1 78,86 78,86 78,86 78,86 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-01 1 1 78,52 78,52 78,52 78,52 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-02 1 1 78,59 78,59 78,59 78,59 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-03 1 1 78,76 78,76 78,76 78,76 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-04 1 1 78 78 78 78 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-05 1 1 77,99 77,99 77,99 77,99 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-08 1 1 78,1 78,1 78,1 78,1 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-09 1 1 78,52 78,52 78,52 78,52 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-10 1 1 79,24 79,24 79,24 79,24 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-11 1 1 78,84 78,84 78,84 78,84 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-12 1 1 78,62 78,62 78,62 78,62 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-15 1 1 78,68 78,68 78,68 78,68 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-16 1 1 78,87 78,87 78,87 78,87 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-17 1 1 78,42 78,42 78,42 78,42 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-18 1 1 78,19 78,19 78,19 78,19 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-19 1 1 78,7 78,7 78,7 78,7 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-22 1 1 79,27 79,27 79,27 79,27 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-23 1 1 78,87 78,87 78,87 78,87 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-24 1 1 78,11 78,11 78,11 78,11 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-25 1 1 77,67 77,67 77,67 77,67 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-26 1 1 77,66 77,66 77,66 77,66 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-29 1 1 77,01 77,01 77,01 77,01 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-30 1 1 77,63 77,63 77,63 77,63 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-08-31 1 1 77,94 77,94 77,94 77,94 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-01 1 1 78,54 78,54 78,54 78,54 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-02 1 1 77,85 77,85 77,85 77,85 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-05 1 1 78,39 78,39 78,39 78,39 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-06 1 1 79,09 79,09 79,09 79,09 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-07 1 1 79,62 79,62 79,62 79,62 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-08 1 1 79,49 79,49 79,49 79,49 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-09 1 1 79,81 79,81 79,81 79,81 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-12 1 1 79,69 79,69 79,69 79,69 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-13 1 1 79,42 79,42 79,42 79,42 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-14 1 1 79,72 79,72 79,72 79,72 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-15 1 1 79,86 79,86 79,86 79,86 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-16 1 1 80,41 80,41 80,41 80,41 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-19 1 1 80,65 80,65 80,65 80,65 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-20 1 1 80,79 80,79 80,79 80,79 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-21 1 1 79,93 79,93 79,93 79,93 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-22 1 1 79,49 79,49 79,49 79,49 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-23 1 1 80,07 80,07 80,07 80,07 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-26 1 1 80,9 80,9 80,9 80,9 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-27 1 1 81,14 81,14 81,14 81,14 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-28 1 1 81,48 81,48 81,48 81,48 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-29 1 1 81,41 81,41 81,41 81,41 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-09-30 1 1 81,21 81,21 81,21 81,21 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-03 1 1 81,63 81,63 81,63 81,63 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-04 1 1 81,86 81,86 81,86 81,86 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-05 1 1 81,42 81,42 81,42 81,42 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-06 1 1 80,06 80,06 80,06 80,06 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-07 1 1 79,82 79,82 79,82 79,82 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-10 1 1 80,53 80,53 80,53 80,53 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-11 1 1 80,55 80,55 80,55 80,55 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-12 1 1 80 80 80 80 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-13 1 1 79,12 79,12 79,12 79,12 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-14 1 1 79,8 79,8 79,8 79,8 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-17 1 1 80,24 80,24 80,24 80,24 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-18 1 1 80,13 80,13 80,13 80,13 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-19 1 1 78,92 78,92 78,92 78,92 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-20 1 1 79,59 79,59 79,59 79,59 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-21 1 1 78,95 78,95 78,95 78,95 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-24 1 1 79,88 79,88 79,88 79,88 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-25 1 1 79,72 79,72 79,72 79,72 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-26 1 1 79,75 79,75 79,75 79,75 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-27 1 1 79,29 79,29 79,29 79,29 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-28 1 1 79,29 79,29 79,29 79,29 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-10-31 1 1 80,73 80,73 80,73 80,73 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-01 1 1 81,59 81,59 81,59 81,59 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-02 1 1 81,55 81,55 81,55 81,55 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-03 1 1 83 83 83 83 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-04 1 1 83 83 83 83 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-07 1 1 83,41 83,41 83,41 83,41 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-08 1 1 83,33 83,33 83,33 83,33 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-09 1 1 83,22 83,22 83,22 83,22 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-10 1 1 83,66 83,66 83,66 83,66 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-11 1 1 84,11 84,11 84,11 84,11 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-14 1 1 84,12 84,12 84,12 84,12 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-15 1 1 84,45 84,45 84,45 84,45 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-16 1 1 83,52 83,52 83,52 83,52 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-17 1 1 84,33 84,33 84,33 84,33 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-18 1 1 84,57 84,57 84,57 84,57 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-21 1 1 84,05 84,05 84,05 84,05 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-22 1 1 84,26 84,26 84,26 84,26 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-23 1 1 84,17 84,17 84,17 84,17 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-24 1 1 83,85 83,85 83,85 83,85 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-25 1 1 83,89 83,89 83,89 83,89 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-28 1 1 84 84 84 84 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-29 1 1 84,04 84,04 84,04 84,04 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-11-30 1 1 83,83 83,83 83,83 83,83 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-01 1 1 84,36 84,36 84,36 84,36 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-02 1 1 84,52 84,52 84,52 84,52 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-05 1 1 84,57 84,57 84,57 84,57 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-06 1 1 84,42 84,42 84,42 84,42 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-07 1 1 84,84 84,84 84,84 84,84 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-08 1 1 84,6 84,6 84,6 84,6 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-12 1 1 84,79 84,79 84,79 84,79 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-13 1 1 85,02 85,02 85,02 85,02 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-14 1 1 84,73 84,73 84,73 84,73 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-15 1 1 84,49 84,49 84,49 84,49 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-16 1 1 85,36 85,36 85,36 85,36 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-19 1 1 84,85 84,85 84,85 84,85 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-20 1 1 84,68 84,68 84,68 84,68 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-21 1 1 85,54 85,54 85,54 85,54 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-22 1 1 85,53 85,53 85,53 85,53 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-23 1 1 85,91 85,91 85,91 85,91 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-27 1 1 86,14 86,14 86,14 86,14 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-28 1 1 85,81 85,81 85,81 85,81 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-29 1 1 85,7 85,7 85,7 85,7 629543 Handelsbanken Fonder AB Handelsbankens Europafond Index SEK 2005-12-30 1 1 85,18 85,18 85,18 85,18 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-03 1 1 164,58 164,58 164,58 164,58 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-04 1 1 165,02 165,02 165,02 165,02 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-05 1 1 164,28 164,28 164,28 164,28 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-07 1 1 164,94 164,94 164,94 164,94 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-10 1 1 165,55 165,55 165,55 165,55 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-11 1 1 165,1 165,1 165,1 165,1 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-12 1 1 164,33 164,33 164,33 164,33 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-13 1 1 164,1 164,1 164,1 164,1 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-14 1 1 164,59 164,59 164,59 164,59 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-17 1 1 165,17 165,17 165,17 165,17 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-18 1 1 164,73 164,73 164,73 164,73 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-19 1 1 165,55 165,55 165,55 165,55 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-20 1 1 164,56 164,56 164,56 164,56 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-21 1 1 164,6 164,6 164,6 164,6 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-24 1 1 163,93 163,93 163,93 163,93 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-25 1 1 164,45 164,45 164,45 164,45 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-26 1 1 164,83 164,83 164,83 164,83 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-27 1 1 165,23 165,23 165,23 165,23 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-28 1 1 165,23 165,23 165,23 165,23 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-01-31 1 1 165,71 165,71 165,71 165,71 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-01 1 1 165,89 165,89 165,89 165,89 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-02 1 1 166,33 166,33 166,33 166,33 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-03 1 1 166,32 166,32 166,32 166,32 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-04 1 1 166,92 166,92 166,92 166,92 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-07 1 1 168,11 168,11 168,11 168,11 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-08 1 1 168,46 168,46 168,46 168,46 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-09 1 1 168,95 168,95 168,95 168,95 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-10 1 1 168,14 168,14 168,14 168,14 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-11 1 1 168,36 168,36 168,36 168,36 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-14 1 1 168,57 168,57 168,57 168,57 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-15 1 1 164,16 164,16 164,16 164,16 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-16 1 1 163,49 163,49 163,49 163,49 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-17 1 1 163,98 163,98 163,98 163,98 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-18 1 1 162,89 162,89 162,89 162,89 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-21 1 1 163,29 163,29 163,29 163,29 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-22 1 1 162,25 162,25 162,25 162,25 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-23 1 1 162,46 162,46 162,46 162,46 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-24 1 1 162,25 162,25 162,25 162,25 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-25 1 1 162,94 162,94 162,94 162,94 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-02-28 1 1 163,31 163,31 163,31 163,31 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-01 1 1 163,4 163,4 163,4 163,4 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-02 1 1 163,44 163,44 163,44 163,44 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-03 1 1 164,04 164,04 164,04 164,04 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-04 1 1 164,15 164,15 164,15 164,15 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-07 1 1 164,2 164,2 164,2 164,2 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-08 1 1 163,93 163,93 163,93 163,93 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-09 1 1 163,47 163,47 163,47 163,47 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-10 1 1 162,87 162,87 162,87 162,87 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-11 1 1 162,79 162,79 162,79 162,79 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-14 1 1 162,75 162,75 162,75 162,75 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-15 1 1 163,63 163,63 163,63 163,63 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-16 1 1 162,44 162,44 162,44 162,44 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-17 1 1 162,47 162,47 162,47 162,47 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-18 1 1 162,81 162,81 162,81 162,81 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-21 1 1 162,91 162,91 162,91 162,91 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-22 1 1 163,07 163,07 163,07 163,07 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-23 1 1 162,43 162,43 162,43 162,43 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-24 1 1 163,14 163,14 163,14 163,14 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-29 1 1 163,37 163,37 163,37 163,37 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-30 1 1 163,01 163,01 163,01 163,01 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-03-31 1 1 163,8 163,8 163,8 163,8 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-01 1 1 164,25 164,25 164,25 164,25 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-04 1 1 164,26 164,26 164,26 164,26 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-05 1 1 164,92 164,92 164,92 164,92 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-06 1 1 165,43 165,43 165,43 165,43 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-07 1 1 165,27 165,27 165,27 165,27 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-08 1 1 166,1 166,1 166,1 166,1 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-11 1 1 165,82 165,82 165,82 165,82 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-12 1 1 165,62 165,62 165,62 165,62 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-13 1 1 166,22 166,22 166,22 166,22 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-14 1 1 166,48 166,48 166,48 166,48 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-15 1 1 165,16 165,16 165,16 165,16 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-18 1 1 163,46 163,46 163,46 163,46 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-19 1 1 164,09 164,09 164,09 164,09 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-20 1 1 164,12 164,12 164,12 164,12 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-21 1 1 163,75 163,75 163,75 163,75 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-22 1 1 164,79 164,79 164,79 164,79 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-25 1 1 164,82 164,82 164,82 164,82 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-26 1 1 164,52 164,52 164,52 164,52 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-27 1 1 163,56 163,56 163,56 163,56 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-28 1 1 163,44 163,44 163,44 163,44 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-04-29 1 1 163,85 163,85 163,85 163,85 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-02 1 1 164,8 164,8 164,8 164,8 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-03 1 1 164,73 164,73 164,73 164,73 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-04 1 1 164,42 164,42 164,42 164,42 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-06 1 1 165,46 165,46 165,46 165,46 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-09 1 1 165,65 165,65 165,65 165,65 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-10 1 1 165,62 165,62 165,62 165,62 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-11 1 1 166,02 166,02 166,02 166,02 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-12 1 1 166,46 166,46 166,46 166,46 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-13 1 1 166,51 166,51 166,51 166,51 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-16 1 1 166,38 166,38 166,38 166,38 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-17 1 1 166,6 166,6 166,6 166,6 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-18 1 1 167,63 167,63 167,63 167,63 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-19 1 1 167,93 167,93 167,93 167,93 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-20 1 1 168,06 168,06 168,06 168,06 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-23 1 1 168,05 168,05 168,05 168,05 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-24 1 1 168,16 168,16 168,16 168,16 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-25 1 1 168,23 168,23 168,23 168,23 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-26 1 1 168,62 168,62 168,62 168,62 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-27 1 1 168,73 168,73 168,73 168,73 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-30 1 1 168,9 168,9 168,9 168,9 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-05-31 1 1 169,88 169,88 169,88 169,88 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-01 1 1 170,2 170,2 170,2 170,2 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-02 1 1 169,84 169,84 169,84 169,84 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-03 1 1 170,03 170,03 170,03 170,03 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-07 1 1 170,08 170,08 170,08 170,08 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-08 1 1 170,89 170,89 170,89 170,89 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-09 1 1 170,9 170,9 170,9 170,9 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-10 1 1 171,6 171,6 171,6 171,6 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-13 1 1 171,92 171,92 171,92 171,92 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-14 1 1 172,18 172,18 172,18 172,18 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-15 1 1 172,14 172,14 172,14 172,14 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-16 1 1 171,73 171,73 171,73 171,73 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-17 1 1 172,17 172,17 172,17 172,17 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-20 1 1 172,14 172,14 172,14 172,14 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-21 1 1 173,07 173,07 173,07 173,07 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-22 1 1 173,99 173,99 173,99 173,99 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-23 1 1 174,72 174,72 174,72 174,72 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-27 1 1 173,22 173,22 173,22 173,22 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-28 1 1 173,48 173,48 173,48 173,48 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-29 1 1 174,71 174,71 174,71 174,71 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-06-30 1 1 174,76 174,76 174,76 174,76 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-01 1 1 174,9 174,9 174,9 174,9 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-04 1 1 175,6 175,6 175,6 175,6 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-05 1 1 175,02 175,02 175,02 175,02 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-06 1 1 175,13 175,13 175,13 175,13 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-07 1 1 173,94 173,94 173,94 173,94 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-08 1 1 174,82 174,82 174,82 174,82 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-11 1 1 175,87 175,87 175,87 175,87 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-12 1 1 175,59 175,59 175,59 175,59 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-13 1 1 175,69 175,69 175,69 175,69 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-14 1 1 175,91 175,91 175,91 175,91 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-15 1 1 175,91 175,91 175,91 175,91 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-18 1 1 175,68 175,68 175,68 175,68 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-19 1 1 176,06 176,06 176,06 176,06 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-20 1 1 175,79 175,79 175,79 175,79 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-21 1 1 176,22 176,22 176,22 176,22 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-22 1 1 176,45 176,45 176,45 176,45 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-25 1 1 176,42 176,42 176,42 176,42 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-26 1 1 177,08 177,08 177,08 177,08 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-27 1 1 177,13 177,13 177,13 177,13 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-28 1 1 177,18 177,18 177,18 177,18 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-07-29 1 1 177,21 177,21 177,21 177,21 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-01 1 1 176,5 176,5 176,5 176,5 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-02 1 1 176,52 176,52 176,52 176,52 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-03 1 1 176,33 176,33 176,33 176,33 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-04 1 1 175,95 175,95 175,95 175,95 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-05 1 1 175,38 175,38 175,38 175,38 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-08 1 1 175,06 175,06 175,06 175,06 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-09 1 1 175,35 175,35 175,35 175,35 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-10 1 1 176,31 176,31 176,31 176,31 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-11 1 1 175,81 175,81 175,81 175,81 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-12 1 1 175,89 175,89 175,89 175,89 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-15 1 1 175,99 175,99 175,99 175,99 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-16 1 1 176,4 176,4 176,4 176,4 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-17 1 1 175,61 175,61 175,61 175,61 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-18 1 1 175,97 175,97 175,97 175,97 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-19 1 1 176,62 176,62 176,62 176,62 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-22 1 1 176,78 176,78 176,78 176,78 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-23 1 1 176,44 176,44 176,44 176,44 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-24 1 1 175,14 175,14 175,14 175,14 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-25 1 1 174,74 174,74 174,74 174,74 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-26 1 1 174,21 174,21 174,21 174,21 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-29 1 1 173,82 173,82 173,82 173,82 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-30 1 1 174,77 174,77 174,77 174,77 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-08-31 1 1 175,19 175,19 175,19 175,19 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-01 1 1 175,63 175,63 175,63 175,63 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-02 1 1 175,3 175,3 175,3 175,3 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-05 1 1 175,6 175,6 175,6 175,6 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-06 1 1 175,94 175,94 175,94 175,94 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-07 1 1 176,62 176,62 176,62 176,62 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-08 1 1 176,52 176,52 176,52 176,52 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-09 1 1 177,1 177,1 177,1 177,1 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-12 1 1 177,56 177,56 177,56 177,56 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-13 1 1 177,62 177,62 177,62 177,62 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-14 1 1 177,74 177,74 177,74 177,74 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-15 1 1 177,74 177,74 177,74 177,74 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-16 1 1 177,91 177,91 177,91 177,91 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-19 1 1 178,19 178,19 178,19 178,19 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-20 1 1 178,27 178,27 178,27 178,27 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-21 1 1 177,56 177,56 177,56 177,56 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-22 1 1 177,16 177,16 177,16 177,16 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-23 1 1 177,82 177,82 177,82 177,82 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-26 1 1 178,69 178,69 178,69 178,69 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-27 1 1 179 179 179 179 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-28 1 1 179,54 179,54 179,54 179,54 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-29 1 1 179,42 179,42 179,42 179,42 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-09-30 1 1 179,72 179,72 179,72 179,72 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-03 1 1 180,29 180,29 180,29 180,29 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-04 1 1 180,39 180,39 180,39 180,39 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-05 1 1 179,62 179,62 179,62 179,62 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-06 1 1 177,53 177,53 177,53 177,53 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-07 1 1 177,63 177,63 177,63 177,63 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-10 1 1 178,15 178,15 178,15 178,15 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-11 1 1 178,45 178,45 178,45 178,45 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-12 1 1 177,68 177,68 177,68 177,68 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-13 1 1 176,76 176,76 176,76 176,76 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-14 1 1 177,08 177,08 177,08 177,08 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-17 1 1 177,21 177,21 177,21 177,21 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-18 1 1 177,01 177,01 177,01 177,01 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-19 1 1 175,79 175,79 175,79 175,79 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-20 1 1 176,4 176,4 176,4 176,4 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-21 1 1 175,47 175,47 175,47 175,47 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-24 1 1 176,41 176,41 176,41 176,41 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-25 1 1 176,98 176,98 176,98 176,98 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-26 1 1 176,87 176,87 176,87 176,87 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-27 1 1 176,24 176,24 176,24 176,24 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-28 1 1 175,87 175,87 175,87 175,87 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-10-31 1 1 177,76 177,76 177,76 177,76 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-01 1 1 178,76 178,76 178,76 178,76 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-02 1 1 178,37 178,37 178,37 178,37 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-03 1 1 180,05 180,05 180,05 180,05 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-04 1 1 180,2 180,2 180,2 180,2 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-07 1 1 181,03 181,03 181,03 181,03 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-08 1 1 180,72 180,72 180,72 180,72 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-09 1 1 180,73 180,73 180,73 180,73 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-10 1 1 181,2 181,2 181,2 181,2 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-11 1 1 181,96 181,96 181,96 181,96 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-14 1 1 182,22 182,22 182,22 182,22 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-15 1 1 182,09 182,09 182,09 182,09 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-16 1 1 181,97 181,97 181,97 181,97 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-17 1 1 182,61 182,61 182,61 182,61 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-18 1 1 182,97 182,97 182,97 182,97 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-21 1 1 182,74 182,74 182,74 182,74 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-22 1 1 183,09 183,09 183,09 183,09 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-23 1 1 182,9 182,9 182,9 182,9 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-24 1 1 182,88 182,88 182,88 182,88 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-25 1 1 183,2 183,2 183,2 183,2 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-28 1 1 183,71 183,71 183,71 183,71 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-29 1 1 183,33 183,33 183,33 183,33 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-11-30 1 1 182,68 182,68 182,68 182,68 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-01 1 1 183,7 183,7 183,7 183,7 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-02 1 1 184,36 184,36 184,36 184,36 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-05 1 1 184,25 184,25 184,25 184,25 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-06 1 1 184,32 184,32 184,32 184,32 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-07 1 1 184,58 184,58 184,58 184,58 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-08 1 1 184,18 184,18 184,18 184,18 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-12 1 1 184,37 184,37 184,37 184,37 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-13 1 1 184,39 184,39 184,39 184,39 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-14 1 1 184,02 184,02 184,02 184,02 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-15 1 1 184,17 184,17 184,17 184,17 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-16 1 1 184,65 184,65 184,65 184,65 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-19 1 1 184,81 184,81 184,81 184,81 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-20 1 1 184,7 184,7 184,7 184,7 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-21 1 1 185,72 185,72 185,72 185,72 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-22 1 1 186,21 186,21 186,21 186,21 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-23 1 1 187,03 187,03 187,03 187,03 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-27 1 1 187,47 187,47 187,47 187,47 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-28 1 1 186,66 186,66 186,66 186,66 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-29 1 1 187,12 187,12 187,12 187,12 665372 Handelsbanken Fonder AB Handelsbankens Flermarknadsfond SEK 2005-12-30 1 1 186,63 186,63 186,63 186,63 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-03 1 1 48,62 48,62 48,62 48,62 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-04 1 1 49,23 49,23 49,23 49,23 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-05 1 1 48,66 48,66 48,66 48,66 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-07 1 1 48,99 48,99 48,99 48,99 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-10 1 1 49,43 49,43 49,43 49,43 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-11 1 1 49,82 49,82 49,82 49,82 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-12 1 1 49,78 49,78 49,78 49,78 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-13 1 1 49,36 49,36 49,36 49,36 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-14 1 1 49,75 49,75 49,75 49,75 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-17 1 1 50,33 50,33 50,33 50,33 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-18 1 1 50,24 50,24 50,24 50,24 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-19 1 1 49,89 49,89 49,89 49,89 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-20 1 1 49,49 49,49 49,49 49,49 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-21 1 1 49,13 49,13 49,13 49,13 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-24 1 1 49,5 49,5 49,5 49,5 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-25 1 1 49,44 49,44 49,44 49,44 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-26 1 1 49,78 49,78 49,78 49,78 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-27 1 1 49,16 49,16 49,16 49,16 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-28 1 1 49,64 49,64 49,64 49,64 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-01-31 1 1 49,76 49,76 49,76 49,76 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-01 1 1 49,52 49,52 49,52 49,52 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-02 1 1 49,53 49,53 49,53 49,53 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-03 1 1 49,25 49,25 49,25 49,25 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-04 1 1 49,21 49,21 49,21 49,21 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-07 1 1 49,97 49,97 49,97 49,97 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-08 1 1 50,02 50,02 50,02 50,02 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-09 1 1 49,89 49,89 49,89 49,89 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-10 1 1 49,92 49,92 49,92 49,92 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-11 1 1 49,83 49,83 49,83 49,83 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-14 1 1 50,29 50,29 50,29 50,29 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-15 1 1 50,02 50,02 50,02 50,02 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-16 1 1 49,71 49,71 49,71 49,71 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-17 1 1 49,42 49,42 49,42 49,42 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-18 1 1 49,62 49,62 49,62 49,62 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-21 1 1 49,49 49,49 49,49 49,49 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-22 1 1 49,01 49,01 49,01 49,01 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-23 1 1 48,32 48,32 48,32 48,32 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-24 1 1 48,26 48,26 48,26 48,26 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-25 1 1 48,59 48,59 48,59 48,59 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-02-28 1 1 48,97 48,97 48,97 48,97 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-01 1 1 49,2 49,2 49,2 49,2 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-02 1 1 49,56 49,56 49,56 49,56 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-03 1 1 49,7 49,7 49,7 49,7 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-04 1 1 49,51 49,51 49,51 49,51 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-07 1 1 49,71 49,71 49,71 49,71 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-08 1 1 49,46 49,46 49,46 49,46 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-09 1 1 49,41 49,41 49,41 49,41 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-10 1 1 49,34 49,34 49,34 49,34 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-11 1 1 49,55 49,55 49,55 49,55 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-14 1 1 49,07 49,07 49,07 49,07 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-15 1 1 49,19 49,19 49,19 49,19 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-16 1 1 49,79 49,79 49,79 49,79 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-17 1 1 49,36 49,36 49,36 49,36 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-18 1 1 49,61 49,61 49,61 49,61 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-21 1 1 50,13 50,13 50,13 50,13 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-22 1 1 50,2 50,2 50,2 50,2 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-23 1 1 50,08 50,08 50,08 50,08 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-24 1 1 49,56 49,56 49,56 49,56 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-29 1 1 49,16 49,16 49,16 49,16 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-30 1 1 48,86 48,86 48,86 48,86 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-03-31 1 1 49,43 49,43 49,43 49,43 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-01 1 1 49,49 49,49 49,49 49,49 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-04 1 1 49,5 49,5 49,5 49,5 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-05 1 1 49,73 49,73 49,73 49,73 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-06 1 1 50,08 50,08 50,08 50,08 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-07 1 1 49,67 49,67 49,67 49,67 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-08 1 1 50,08 50,08 50,08 50,08 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-11 1 1 49,35 49,35 49,35 49,35 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-12 1 1 48,96 48,96 48,96 48,96 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-13 1 1 49,09 49,09 49,09 49,09 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-14 1 1 48,99 48,99 48,99 48,99 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-15 1 1 48,36 48,36 48,36 48,36 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-18 1 1 46,48 46,48 46,48 46,48 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-19 1 1 47,1 47,1 47,1 47,1 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-20 1 1 47,17 47,17 47,17 47,17 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-21 1 1 46,82 46,82 46,82 46,82 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-22 1 1 46,94 46,94 46,94 46,94 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-25 1 1 47,53 47,53 47,53 47,53 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-26 1 1 47,38 47,38 47,38 47,38 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-27 1 1 47,61 47,61 47,61 47,61 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-28 1 1 47,71 47,71 47,71 47,71 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-04-29 1 1 47,89 47,89 47,89 47,89 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-02 1 1 48,48 48,48 48,48 48,48 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-03 1 1 48,66 48,66 48,66 48,66 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-04 1 1 48,34 48,34 48,34 48,34 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-06 1 1 49,17 49,17 49,17 49,17 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-09 1 1 49,45 49,45 49,45 49,45 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-10 1 1 49,1 49,1 49,1 49,1 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-11 1 1 48,86 48,86 48,86 48,86 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-12 1 1 49 49 49 49 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-13 1 1 48,67 48,67 48,67 48,67 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-16 1 1 48,19 48,19 48,19 48,19 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-17 1 1 48,03 48,03 48,03 48,03 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-18 1 1 47,54 47,54 47,54 47,54 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-19 1 1 48,44 48,44 48,44 48,44 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-20 1 1 48,37 48,37 48,37 48,37 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-23 1 1 48,82 48,82 48,82 48,82 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-24 1 1 48,87 48,87 48,87 48,87 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-25 1 1 48,51 48,51 48,51 48,51 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-26 1 1 48,37 48,37 48,37 48,37 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-27 1 1 48,93 48,93 48,93 48,93 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-30 1 1 49,24 49,24 49,24 49,24 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-05-31 1 1 49,53 49,53 49,53 49,53 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-01 1 1 49,87 49,87 49,87 49,87 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-02 1 1 50,16 50,16 50,16 50,16 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-03 1 1 50,03 50,03 50,03 50,03 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-07 1 1 50,24 50,24 50,24 50,24 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-08 1 1 50,39 50,39 50,39 50,39 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-09 1 1 50,4 50,4 50,4 50,4 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-10 1 1 50,7 50,7 50,7 50,7 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-13 1 1 51,01 51,01 51,01 51,01 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-14 1 1 50,82 50,82 50,82 50,82 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-15 1 1 51,51 51,51 51,51 51,51 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-16 1 1 51,39 51,39 51,39 51,39 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-17 1 1 51,91 51,91 51,91 51,91 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-20 1 1 51,03 51,03 51,03 51,03 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-21 1 1 51,25 51,25 51,25 51,25 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-22 1 1 51,7 51,7 51,7 51,7 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-23 1 1 52,46 52,46 52,46 52,46 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-27 1 1 51,57 51,57 51,57 51,57 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-28 1 1 51,96 51,96 51,96 51,96 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-29 1 1 52,72 52,72 52,72 52,72 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-06-30 1 1 52,82 52,82 52,82 52,82 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-01 1 1 52,8 52,8 52,8 52,8 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-04 1 1 53,35 53,35 53,35 53,35 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-05 1 1 53,27 53,27 53,27 53,27 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-06 1 1 52,92 52,92 52,92 52,92 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-07 1 1 52,46 52,46 52,46 52,46 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-08 1 1 52,41 52,41 52,41 52,41 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-11 1 1 52,64 52,64 52,64 52,64 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-12 1 1 52,48 52,48 52,48 52,48 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-13 1 1 52,02 52,02 52,02 52,02 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-14 1 1 52,3 52,3 52,3 52,3 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-15 1 1 52,34 52,34 52,34 52,34 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-18 1 1 52,45 52,45 52,45 52,45 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-19 1 1 52,56 52,56 52,56 52,56 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-20 1 1 52,27 52,27 52,27 52,27 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-21 1 1 52,3 52,3 52,3 52,3 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-22 1 1 52,69 52,69 52,69 52,69 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-25 1 1 52,7 52,7 52,7 52,7 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-26 1 1 52,47 52,47 52,47 52,47 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-27 1 1 53 53 53 53 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-28 1 1 52,87 52,87 52,87 52,87 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-07-29 1 1 52,67 52,67 52,67 52,67 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-01 1 1 52,57 52,57 52,57 52,57 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-02 1 1 52,65 52,65 52,65 52,65 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-03 1 1 52,44 52,44 52,44 52,44 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-04 1 1 52,17 52,17 52,17 52,17 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-05 1 1 51 51 51 51 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-08 1 1 50,86 50,86 50,86 50,86 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-09 1 1 51,39 51,39 51,39 51,39 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-10 1 1 52,78 52,78 52,78 52,78 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-11 1 1 53,74 53,74 53,74 53,74 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-12 1 1 53,65 53,65 53,65 53,65 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-15 1 1 54,15 54,15 54,15 54,15 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-16 1 1 54,61 54,61 54,61 54,61 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-17 1 1 54,67 54,67 54,67 54,67 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-18 1 1 54,78 54,78 54,78 54,78 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-19 1 1 54,95 54,95 54,95 54,95 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-22 1 1 56,18 56,18 56,18 56,18 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-23 1 1 56,11 56,11 56,11 56,11 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-24 1 1 56,02 56,02 56,02 56,02 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-25 1 1 55,39 55,39 55,39 55,39 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-26 1 1 55,5 55,5 55,5 55,5 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-29 1 1 54,66 54,66 54,66 54,66 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-30 1 1 55,61 55,61 55,61 55,61 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-08-31 1 1 55,46 55,46 55,46 55,46 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-01 1 1 55,32 55,32 55,32 55,32 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-02 1 1 55,2 55,2 55,2 55,2 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-05 1 1 55,45 55,45 55,45 55,45 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-06 1 1 55,73 55,73 55,73 55,73 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-07 1 1 55,34 55,34 55,34 55,34 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-08 1 1 55,23 55,23 55,23 55,23 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-09 1 1 55,93 55,93 55,93 55,93 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-12 1 1 57,26 57,26 57,26 57,26 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-13 1 1 57,2 57,2 57,2 57,2 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-14 1 1 57,28 57,28 57,28 57,28 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-15 1 1 58,28 58,28 58,28 58,28 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-16 1 1 58,08 58,08 58,08 58,08 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-19 1 1 58,31 58,31 58,31 58,31 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-20 1 1 59,32 59,32 59,32 59,32 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-21 1 1 59,34 59,34 59,34 59,34 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-22 1 1 59,15 59,15 59,15 59,15 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-23 1 1 59,6 59,6 59,6 59,6 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-26 1 1 61,13 61,13 61,13 61,13 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-27 1 1 60,57 60,57 60,57 60,57 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-28 1 1 61,67 61,67 61,67 61,67 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-29 1 1 62,66 62,66 62,66 62,66 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-09-30 1 1 61,64 61,64 61,64 61,64 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-03 1 1 61,46 61,46 61,46 61,46 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-04 1 1 62,02 62,02 62,02 62,02 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-05 1 1 61,51 61,51 61,51 61,51 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-06 1 1 59,23 59,23 59,23 59,23 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-07 1 1 59,29 59,29 59,29 59,29 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-10 1 1 59,33 59,33 59,33 59,33 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-11 1 1 61,01 61,01 61,01 61,01 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-12 1 1 60,96 60,96 60,96 60,96 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-13 1 1 61,03 61,03 61,03 61,03 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-14 1 1 61,01 61,01 61,01 61,01 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-17 1 1 60,88 60,88 60,88 60,88 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-18 1 1 60,81 60,81 60,81 60,81 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-19 1 1 60,31 60,31 60,31 60,31 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-20 1 1 60,41 60,41 60,41 60,41 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-21 1 1 60,29 60,29 60,29 60,29 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-24 1 1 60,46 60,46 60,46 60,46 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-25 1 1 61,25 61,25 61,25 61,25 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-26 1 1 60,99 60,99 60,99 60,99 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-27 1 1 61,61 61,61 61,61 61,61 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-28 1 1 61,12 61,12 61,12 61,12 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-10-31 1 1 62,58 62,58 62,58 62,58 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-01 1 1 63,66 63,66 63,66 63,66 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-02 1 1 63,65 63,65 63,65 63,65 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-03 1 1 63,78 63,78 63,78 63,78 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-04 1 1 64,69 64,69 64,69 64,69 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-07 1 1 65,45 65,45 65,45 65,45 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-08 1 1 65,69 65,69 65,69 65,69 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-09 1 1 65,28 65,28 65,28 65,28 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-10 1 1 65,37 65,37 65,37 65,37 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-11 1 1 66,22 66,22 66,22 66,22 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-14 1 1 64,7 64,7 64,7 64,7 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-15 1 1 64,48 64,48 64,48 64,48 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-16 1 1 65,07 65,07 65,07 65,07 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-17 1 1 66,68 66,68 66,68 66,68 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-18 1 1 67,01 67,01 67,01 67,01 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-21 1 1 66,48 66,48 66,48 66,48 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-22 1 1 66,68 66,68 66,68 66,68 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-23 1 1 66,09 66,09 66,09 66,09 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-24 1 1 65,68 65,68 65,68 65,68 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-25 1 1 66,16 66,16 66,16 66,16 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-28 1 1 66,76 66,76 66,76 66,76 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-29 1 1 66,31 66,31 66,31 66,31 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-11-30 1 1 66,16 66,16 66,16 66,16 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-01 1 1 66,93 66,93 66,93 66,93 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-02 1 1 67,82 67,82 67,82 67,82 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-05 1 1 67,42 67,42 67,42 67,42 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-06 1 1 66,98 66,98 66,98 66,98 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-07 1 1 67,35 67,35 67,35 67,35 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-08 1 1 66,26 66,26 66,26 66,26 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-12 1 1 67,82 67,82 67,82 67,82 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-13 1 1 68,2 68,2 68,2 68,2 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-14 1 1 67,34 67,34 67,34 67,34 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-15 1 1 67,83 67,83 67,83 67,83 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-16 1 1 68,31 68,31 68,31 68,31 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-19 1 1 68,24 68,24 68,24 68,24 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-20 1 1 68,87 68,87 68,87 68,87 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-21 1 1 70,4 70,4 70,4 70,4 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-22 1 1 70,61 70,61 70,61 70,61 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-23 1 1 70,82 70,82 70,82 70,82 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-27 1 1 70,84 70,84 70,84 70,84 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-28 1 1 70,88 70,88 70,88 70,88 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-29 1 1 70,94 70,94 70,94 70,94 203182 Handelsbanken Fonder AB Handelsbankens Japanfond SEK 2005-12-30 1 1 70,6 70,6 70,6 70,6 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-03 1 1 363,93 363,93 363,93 363,93 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-04 1 1 363,37 363,37 363,37 363,37 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-05 1 1 360,37 360,37 360,37 360,37 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-07 1 1 364,13 364,13 364,13 364,13 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-10 1 1 365,43 365,43 365,43 365,43 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-11 1 1 363,87 363,87 363,87 363,87 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-12 1 1 361,23 361,23 361,23 361,23 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-13 1 1 361,05 361,05 361,05 361,05 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-14 1 1 362,38 362,38 362,38 362,38 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-17 1 1 365,23 365,23 365,23 365,23 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-18 1 1 363,61 363,61 363,61 363,61 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-19 1 1 365,07 365,07 365,07 365,07 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-20 1 1 360,14 360,14 360,14 360,14 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-21 1 1 360,24 360,24 360,24 360,24 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-24 1 1 358,05 358,05 358,05 358,05 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-25 1 1 360,16 360,16 360,16 360,16 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-26 1 1 361,18 361,18 361,18 361,18 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-27 1 1 365,13 365,13 365,13 365,13 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-28 1 1 364,32 364,32 364,32 364,32 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-01-31 1 1 365,65 365,65 365,65 365,65 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-01 1 1 367,63 367,63 367,63 367,63 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-02 1 1 370,59 370,59 370,59 370,59 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-03 1 1 370,97 370,97 370,97 370,97 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-04 1 1 373,11 373,11 373,11 373,11 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-07 1 1 377,25 377,25 377,25 377,25 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-08 1 1 376,89 376,89 376,89 376,89 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-09 1 1 379,21 379,21 379,21 379,21 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-10 1 1 376,8 376,8 376,8 376,8 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-11 1 1 379,02 379,02 379,02 379,02 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-14 1 1 380,36 380,36 380,36 380,36 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-15 1 1 382,05 382,05 382,05 382,05 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-16 1 1 379,47 379,47 379,47 379,47 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-17 1 1 383,44 383,44 383,44 383,44 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-18 1 1 380,98 380,98 380,98 380,98 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-21 1 1 382,53 382,53 382,53 382,53 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-22 1 1 373,14 373,14 373,14 373,14 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-23 1 1 374,58 374,58 374,58 374,58 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-24 1 1 375,43 375,43 375,43 375,43 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-25 1 1 378,13 378,13 378,13 378,13 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-02-28 1 1 379,5 379,5 379,5 379,5 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-01 1 1 380,54 380,54 380,54 380,54 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-02 1 1 380,37 380,37 380,37 380,37 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-03 1 1 383,05 383,05 383,05 383,05 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-04 1 1 385,25 385,25 385,25 385,25 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-07 1 1 385,44 385,44 385,44 385,44 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-08 1 1 384,2 384,2 384,2 384,2 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-09 1 1 383,59 383,59 383,59 383,59 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-10 1 1 381,54 381,54 381,54 381,54 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-11 1 1 382,05 382,05 382,05 382,05 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-14 1 1 382,39 382,39 382,39 382,39 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-15 1 1 385,59 385,59 385,59 385,59 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-16 1 1 381,62 381,62 381,62 381,62 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-17 1 1 382,26 382,26 382,26 382,26 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-18 1 1 383,96 383,96 383,96 383,96 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-21 1 1 383,6 383,6 383,6 383,6 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-22 1 1 382,61 382,61 382,61 382,61 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-23 1 1 378,01 378,01 378,01 378,01 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-24 1 1 378,94 378,94 378,94 378,94 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-29 1 1 379,88 379,88 379,88 379,88 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-30 1 1 377,89 377,89 377,89 377,89 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-03-31 1 1 381,63 381,63 381,63 381,63 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-01 1 1 383,25 383,25 383,25 383,25 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-04 1 1 383,69 383,69 383,69 383,69 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-05 1 1 386,56 386,56 386,56 386,56 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-06 1 1 388,83 388,83 388,83 388,83 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-07 1 1 390,4 390,4 390,4 390,4 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-08 1 1 393,79 393,79 393,79 393,79 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-11 1 1 393,04 393,04 393,04 393,04 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-12 1 1 392,56 392,56 392,56 392,56 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-13 1 1 393,87 393,87 393,87 393,87 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-14 1 1 394,02 394,02 394,02 394,02 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-15 1 1 387,64 387,64 387,64 387,64 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-18 1 1 380,54 380,54 380,54 380,54 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-19 1 1 384,76 384,76 384,76 384,76 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-20 1 1 386,63 386,63 386,63 386,63 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-21 1 1 388,11 388,11 388,11 388,11 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-22 1 1 391 391 391 391 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-25 1 1 390,99 390,99 390,99 390,99 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-26 1 1 389,05 389,05 389,05 389,05 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-27 1 1 381,67 381,67 381,67 381,67 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-28 1 1 376,77 376,77 376,77 376,77 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-04-29 1 1 378,17 378,17 378,17 378,17 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-02 1 1 381,49 381,49 381,49 381,49 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-03 1 1 382,41 382,41 382,41 382,41 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-04 1 1 383,33 383,33 383,33 383,33 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-06 1 1 389,12 389,12 389,12 389,12 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-09 1 1 391,12 391,12 391,12 391,12 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-10 1 1 391 391 391 391 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-11 1 1 392,65 392,65 392,65 392,65 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-12 1 1 393,92 393,92 393,92 393,92 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-13 1 1 392,41 392,41 392,41 392,41 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-16 1 1 392,26 392,26 392,26 392,26 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-17 1 1 393,47 393,47 393,47 393,47 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-18 1 1 398,5 398,5 398,5 398,5 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-19 1 1 398,5 398,5 398,5 398,5 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-20 1 1 399,15 399,15 399,15 399,15 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-23 1 1 399,06 399,06 399,06 399,06 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-24 1 1 400,15 400,15 400,15 400,15 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-25 1 1 401,43 401,43 401,43 401,43 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-26 1 1 404,31 404,31 404,31 404,31 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-27 1 1 406,12 406,12 406,12 406,12 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-30 1 1 406,44 406,44 406,44 406,44 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-05-31 1 1 407,32 407,32 407,32 407,32 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-01 1 1 410,37 410,37 410,37 410,37 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-02 1 1 409 409 409 409 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-03 1 1 408,57 408,57 408,57 408,57 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-07 1 1 409,13 409,13 409,13 409,13 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-08 1 1 412,79 412,79 412,79 412,79 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-09 1 1 413,27 413,27 413,27 413,27 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-10 1 1 417,72 417,72 417,72 417,72 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-13 1 1 419,87 419,87 419,87 419,87 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-14 1 1 421,56 421,56 421,56 421,56 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-15 1 1 422,65 422,65 422,65 422,65 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-16 1 1 422,77 422,77 422,77 422,77 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-17 1 1 425,67 425,67 425,67 425,67 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-20 1 1 424,95 424,95 424,95 424,95 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-21 1 1 427,45 427,45 427,45 427,45 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-22 1 1 430,45 430,45 430,45 430,45 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-23 1 1 433,9 433,9 433,9 433,9 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-27 1 1 427,56 427,56 427,56 427,56 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-28 1 1 430,05 430,05 430,05 430,05 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-29 1 1 436,15 436,15 436,15 436,15 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-06-30 1 1 436,92 436,92 436,92 436,92 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-01 1 1 438,35 438,35 438,35 438,35 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-04 1 1 442,35 442,35 442,35 442,35 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-05 1 1 440,4 440,4 440,4 440,4 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-06 1 1 442,94 442,94 442,94 442,94 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-07 1 1 436,88 436,88 436,88 436,88 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-08 1 1 444,12 444,12 444,12 444,12 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-11 1 1 449,76 449,76 449,76 449,76 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-12 1 1 448,36 448,36 448,36 448,36 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-13 1 1 448,27 448,27 448,27 448,27 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-14 1 1 449,16 449,16 449,16 449,16 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-15 1 1 447,18 447,18 447,18 447,18 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-18 1 1 446,52 446,52 446,52 446,52 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-19 1 1 447,44 447,44 447,44 447,44 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-20 1 1 446,33 446,33 446,33 446,33 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-21 1 1 443,83 443,83 443,83 443,83 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-22 1 1 444,94 444,94 444,94 444,94 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-25 1 1 444,72 444,72 444,72 444,72 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-26 1 1 447,18 447,18 447,18 447,18 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-27 1 1 449,51 449,51 449,51 449,51 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-28 1 1 450,54 450,54 450,54 450,54 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-07-29 1 1 451,59 451,59 451,59 451,59 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-01 1 1 452,04 452,04 452,04 452,04 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-02 1 1 453,72 453,72 453,72 453,72 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-03 1 1 455,59 455,59 455,59 455,59 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-04 1 1 452,84 452,84 452,84 452,84 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-05 1 1 452,64 452,64 452,64 452,64 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-08 1 1 454,2 454,2 454,2 454,2 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-09 1 1 458,19 458,19 458,19 458,19 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-10 1 1 460,65 460,65 460,65 460,65 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-11 1 1 457,77 457,77 457,77 457,77 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-12 1 1 458,14 458,14 458,14 458,14 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-15 1 1 456,76 456,76 456,76 456,76 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-16 1 1 456,89 456,89 456,89 456,89 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-17 1 1 454,04 454,04 454,04 454,04 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-18 1 1 456,24 456,24 456,24 456,24 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-19 1 1 460,29 460,29 460,29 460,29 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-22 1 1 460,54 460,54 460,54 460,54 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-23 1 1 459,11 459,11 459,11 459,11 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-24 1 1 452,5 452,5 452,5 452,5 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-25 1 1 451,58 451,58 451,58 451,58 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-26 1 1 449,01 449,01 449,01 449,01 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-29 1 1 448,18 448,18 448,18 448,18 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-30 1 1 453,04 453,04 453,04 453,04 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-08-31 1 1 456,14 456,14 456,14 456,14 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-01 1 1 460,7 460,7 460,7 460,7 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-02 1 1 458,3 458,3 458,3 458,3 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-05 1 1 460,66 460,66 460,66 460,66 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-06 1 1 463,15 463,15 463,15 463,15 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-07 1 1 464,32 464,32 464,32 464,32 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-08 1 1 462,24 462,24 462,24 462,24 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-09 1 1 464,65 464,65 464,65 464,65 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-12 1 1 466,18 466,18 466,18 466,18 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-13 1 1 468,4 468,4 468,4 468,4 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-14 1 1 470,66 470,66 470,66 470,66 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-15 1 1 471,08 471,08 471,08 471,08 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-16 1 1 472,08 472,08 472,08 472,08 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-19 1 1 473,94 473,94 473,94 473,94 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-20 1 1 473,79 473,79 473,79 473,79 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-21 1 1 472,52 472,52 472,52 472,52 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-22 1 1 472,18 472,18 472,18 472,18 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-23 1 1 473,12 473,12 473,12 473,12 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-26 1 1 473,6 473,6 473,6 473,6 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-27 1 1 475,71 475,71 475,71 475,71 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-28 1 1 477,4 477,4 477,4 477,4 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-29 1 1 478,06 478,06 478,06 478,06 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-09-30 1 1 477,38 477,38 477,38 477,38 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-03 1 1 480,38 480,38 480,38 480,38 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-04 1 1 479,6 479,6 479,6 479,6 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-05 1 1 476,32 476,32 476,32 476,32 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-06 1 1 467,08 467,08 467,08 467,08 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-07 1 1 467 467 467 467 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-10 1 1 470,99 470,99 470,99 470,99 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-11 1 1 470,84 470,84 470,84 470,84 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-12 1 1 469,77 469,77 469,77 469,77 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-13 1 1 459,58 459,58 459,58 459,58 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-14 1 1 459,63 459,63 459,63 459,63 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-17 1 1 462,43 462,43 462,43 462,43 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-18 1 1 457,18 457,18 457,18 457,18 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-19 1 1 448,25 448,25 448,25 448,25 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-20 1 1 450,63 450,63 450,63 450,63 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-21 1 1 444,06 444,06 444,06 444,06 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-24 1 1 452,21 452,21 452,21 452,21 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-25 1 1 454,47 454,47 454,47 454,47 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-26 1 1 457,51 457,51 457,51 457,51 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-27 1 1 454,87 454,87 454,87 454,87 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-28 1 1 452,82 452,82 452,82 452,82 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-10-31 1 1 462,32 462,32 462,32 462,32 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-01 1 1 467,57 467,57 467,57 467,57 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-02 1 1 467,5 467,5 467,5 467,5 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-03 1 1 477,06 477,06 477,06 477,06 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-04 1 1 477,27 477,27 477,27 477,27 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-07 1 1 478,74 478,74 478,74 478,74 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-08 1 1 475,16 475,16 475,16 475,16 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-09 1 1 476,97 476,97 476,97 476,97 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-10 1 1 478,76 478,76 478,76 478,76 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-11 1 1 477,42 477,42 477,42 477,42 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-14 1 1 479,92 479,92 479,92 479,92 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-15 1 1 479,61 479,61 479,61 479,61 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-16 1 1 476,78 476,78 476,78 476,78 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-17 1 1 480,1 480,1 480,1 480,1 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-18 1 1 481,08 481,08 481,08 481,08 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-21 1 1 481,92 481,92 481,92 481,92 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-22 1 1 483,59 483,59 483,59 483,59 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-23 1 1 481,94 481,94 481,94 481,94 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-24 1 1 479,6 479,6 479,6 479,6 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-25 1 1 482,06 482,06 482,06 482,06 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-28 1 1 482,89 482,89 482,89 482,89 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-29 1 1 479,92 479,92 479,92 479,92 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-11-30 1 1 478,96 478,96 478,96 478,96 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-01 1 1 483,08 483,08 483,08 483,08 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-02 1 1 489,13 489,13 489,13 489,13 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-05 1 1 490,79 490,79 490,79 490,79 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-06 1 1 491,59 491,59 491,59 491,59 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-07 1 1 495,18 495,18 495,18 495,18 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-08 1 1 496,41 496,41 496,41 496,41 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-12 1 1 496,74 496,74 496,74 496,74 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-13 1 1 497,09 497,09 497,09 497,09 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-14 1 1 496,13 496,13 496,13 496,13 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-15 1 1 494,91 494,91 494,91 494,91 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-16 1 1 496,14 496,14 496,14 496,14 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-19 1 1 494,9 494,9 494,9 494,9 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-20 1 1 494,01 494,01 494,01 494,01 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-21 1 1 497,36 497,36 497,36 497,36 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-22 1 1 500,2 500,2 500,2 500,2 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-23 1 1 505,34 505,34 505,34 505,34 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-27 1 1 507,07 507,07 507,07 507,07 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-28 1 1 505,56 505,56 505,56 505,56 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-29 1 1 506,95 506,95 506,95 506,95 811117 Handelsbanken Fonder AB Handelsbankens Nordenfond SEK 2005-12-30 1 1 505,42 505,42 505,42 505,42 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-03 1 1 683,7 683,7 683,7 683,7 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-04 1 1 686,02 686,02 686,02 686,02 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-05 1 1 679,77 679,77 679,77 679,77 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-07 1 1 683,43 683,43 683,43 683,43 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-10 1 1 688,43 688,43 688,43 688,43 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-11 1 1 686,41 686,41 686,41 686,41 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-12 1 1 678,43 678,43 678,43 678,43 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-13 1 1 676,36 676,36 676,36 676,36 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-14 1 1 679,2 679,2 679,2 679,2 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-17 1 1 682,74 682,74 682,74 682,74 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-18 1 1 678,92 678,92 678,92 678,92 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-19 1 1 685,16 685,16 685,16 685,16 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-20 1 1 677,89 677,89 677,89 677,89 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-21 1 1 675,97 675,97 675,97 675,97 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-24 1 1 669,83 669,83 669,83 669,83 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-25 1 1 673,58 673,58 673,58 673,58 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-26 1 1 675,53 675,53 675,53 675,53 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-27 1 1 680,71 680,71 680,71 680,71 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-28 1 1 677,75 677,75 677,75 677,75 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-01-31 1 1 681,75 681,75 681,75 681,75 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-01 1 1 683,21 683,21 683,21 683,21 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-02 1 1 689,27 689,27 689,27 689,27 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-03 1 1 687,9 687,9 687,9 687,9 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-04 1 1 692,25 692,25 692,25 692,25 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-07 1 1 699,88 699,88 699,88 699,88 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-08 1 1 700,68 700,68 700,68 700,68 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-09 1 1 705,56 705,56 705,56 705,56 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-10 1 1 698,21 698,21 698,21 698,21 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-11 1 1 701,68 701,68 701,68 701,68 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-14 1 1 705,23 705,23 705,23 705,23 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-15 1 1 707,79 707,79 707,79 707,79 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-16 1 1 701,69 701,69 701,69 701,69 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-17 1 1 708,74 708,74 708,74 708,74 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-18 1 1 701,07 701,07 701,07 701,07 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-21 1 1 704,1 704,1 704,1 704,1 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-22 1 1 698,15 698,15 698,15 698,15 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-23 1 1 701,66 701,66 701,66 701,66 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-24 1 1 703,88 703,88 703,88 703,88 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-25 1 1 708,24 708,24 708,24 708,24 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-02-28 1 1 712,06 712,06 712,06 712,06 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-01 1 1 711,68 711,68 711,68 711,68 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-02 1 1 711,41 711,41 711,41 711,41 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-03 1 1 719,67 719,67 719,67 719,67 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-04 1 1 722,46 722,46 722,46 722,46 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-07 1 1 720,79 720,79 720,79 720,79 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-08 1 1 700,89 700,89 700,89 700,89 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-09 1 1 698,46 698,46 698,46 698,46 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-10 1 1 694,7 694,7 694,7 694,7 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-11 1 1 695,76 695,76 695,76 695,76 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-14 1 1 695,76 695,76 695,76 695,76 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-15 1 1 702,19 702,19 702,19 702,19 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-16 1 1 693,68 693,68 693,68 693,68 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-17 1 1 691,94 691,94 691,94 691,94 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-18 1 1 692,32 692,32 692,32 692,32 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-21 1 1 690,13 690,13 690,13 690,13 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-22 1 1 693,11 693,11 693,11 693,11 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-23 1 1 688,15 688,15 688,15 688,15 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-24 1 1 695,67 695,67 695,67 695,67 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-29 1 1 693,87 693,87 693,87 693,87 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-30 1 1 689,62 689,62 689,62 689,62 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-03-31 1 1 693,54 693,54 693,54 693,54 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-01 1 1 696,58 696,58 696,58 696,58 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-04 1 1 695,64 695,64 695,64 695,64 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-05 1 1 702,07 702,07 702,07 702,07 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-06 1 1 708,27 708,27 708,27 708,27 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-07 1 1 708,18 708,18 708,18 708,18 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-08 1 1 713,54 713,54 713,54 713,54 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-11 1 1 716,93 716,93 716,93 716,93 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-12 1 1 715,5 715,5 715,5 715,5 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-13 1 1 719,34 719,34 719,34 719,34 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-14 1 1 723,12 723,12 723,12 723,12 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-15 1 1 713,4 713,4 713,4 713,4 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-18 1 1 700,47 700,47 700,47 700,47 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-19 1 1 706,18 706,18 706,18 706,18 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-20 1 1 707,49 707,49 707,49 707,49 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-21 1 1 705,87 705,87 705,87 705,87 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-22 1 1 713,61 713,61 713,61 713,61 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-25 1 1 711,09 711,09 711,09 711,09 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-26 1 1 706,25 706,25 706,25 706,25 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-27 1 1 693,81 693,81 693,81 693,81 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-28 1 1 685,62 685,62 685,62 685,62 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-04-29 1 1 690,92 690,92 690,92 690,92 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-02 1 1 695,43 695,43 695,43 695,43 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-03 1 1 693,9 693,9 693,9 693,9 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-04 1 1 695,91 695,91 695,91 695,91 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-06 1 1 703,7 703,7 703,7 703,7 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-09 1 1 704,24 704,24 704,24 704,24 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-10 1 1 699,77 699,77 699,77 699,77 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-11 1 1 701,63 701,63 701,63 701,63 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-12 1 1 704,47 704,47 704,47 704,47 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-13 1 1 705,91 705,91 705,91 705,91 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-16 1 1 705,76 705,76 705,76 705,76 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-17 1 1 711,07 711,07 711,07 711,07 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-18 1 1 717,79 717,79 717,79 717,79 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-19 1 1 718,85 718,85 718,85 718,85 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-20 1 1 719,29 719,29 719,29 719,29 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-23 1 1 718,41 718,41 718,41 718,41 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-24 1 1 719,77 719,77 719,77 719,77 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-25 1 1 721,73 721,73 721,73 721,73 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-26 1 1 724,86 724,86 724,86 724,86 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-27 1 1 727,2 727,2 727,2 727,2 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-30 1 1 727,82 727,82 727,82 727,82 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-05-31 1 1 730,33 730,33 730,33 730,33 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-01 1 1 728,87 728,87 728,87 728,87 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-02 1 1 726,27 726,27 726,27 726,27 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-03 1 1 724,81 724,81 724,81 724,81 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-07 1 1 725,84 725,84 725,84 725,84 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-08 1 1 731,96 731,96 731,96 731,96 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-09 1 1 732,19 732,19 732,19 732,19 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-10 1 1 736,37 736,37 736,37 736,37 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-13 1 1 736,1 736,1 736,1 736,1 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-14 1 1 740,13 740,13 740,13 740,13 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-15 1 1 742,55 742,55 742,55 742,55 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-16 1 1 741,19 741,19 741,19 741,19 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-17 1 1 745,41 745,41 745,41 745,41 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-20 1 1 744,53 744,53 744,53 744,53 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-21 1 1 750,17 750,17 750,17 750,17 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-22 1 1 754,59 754,59 754,59 754,59 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-23 1 1 757,9 757,9 757,9 757,9 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-27 1 1 744,99 744,99 744,99 744,99 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-28 1 1 747,46 747,46 747,46 747,46 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-29 1 1 754,92 754,92 754,92 754,92 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-06-30 1 1 757,76 757,76 757,76 757,76 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-01 1 1 758,71 758,71 758,71 758,71 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-04 1 1 764,47 764,47 764,47 764,47 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-05 1 1 763,51 763,51 763,51 763,51 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-06 1 1 765,96 765,96 765,96 765,96 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-07 1 1 751,95 751,95 751,95 751,95 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-08 1 1 761,13 761,13 761,13 761,13 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-11 1 1 773,3 773,3 773,3 773,3 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-12 1 1 776,56 776,56 776,56 776,56 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-13 1 1 781,68 781,68 781,68 781,68 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-14 1 1 783,5 783,5 783,5 783,5 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-15 1 1 783,78 783,78 783,78 783,78 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-18 1 1 783,1 783,1 783,1 783,1 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-19 1 1 782,89 782,89 782,89 782,89 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-20 1 1 779,45 779,45 779,45 779,45 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-21 1 1 785,42 785,42 785,42 785,42 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-22 1 1 787,55 787,55 787,55 787,55 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-25 1 1 782,63 782,63 782,63 782,63 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-26 1 1 787,06 787,06 787,06 787,06 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-27 1 1 788,83 788,83 788,83 788,83 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-28 1 1 794,63 794,63 794,63 794,63 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-07-29 1 1 795,05 795,05 795,05 795,05 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-01 1 1 795,79 795,79 795,79 795,79 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-02 1 1 799,35 799,35 799,35 799,35 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-03 1 1 799,74 799,74 799,74 799,74 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-04 1 1 798,03 798,03 798,03 798,03 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-05 1 1 795,42 795,42 795,42 795,42 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-08 1 1 793,4 793,4 793,4 793,4 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-09 1 1 795,04 795,04 795,04 795,04 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-10 1 1 804,17 804,17 804,17 804,17 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-11 1 1 799,16 799,16 799,16 799,16 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-12 1 1 799,62 799,62 799,62 799,62 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-15 1 1 797,98 797,98 797,98 797,98 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-16 1 1 799,27 799,27 799,27 799,27 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-17 1 1 793,87 793,87 793,87 793,87 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-18 1 1 795,43 795,43 795,43 795,43 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-19 1 1 801,12 801,12 801,12 801,12 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-22 1 1 801,27 801,27 801,27 801,27 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-23 1 1 797,8 797,8 797,8 797,8 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-24 1 1 783,09 783,09 783,09 783,09 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-25 1 1 778,74 778,74 778,74 778,74 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-26 1 1 772,26 772,26 772,26 772,26 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-29 1 1 771,04 771,04 771,04 771,04 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-30 1 1 777,17 777,17 777,17 777,17 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-08-31 1 1 783,09 783,09 783,09 783,09 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-01 1 1 787,99 787,99 787,99 787,99 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-02 1 1 786,98 786,98 786,98 786,98 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-05 1 1 792,55 792,55 792,55 792,55 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-06 1 1 797,3 797,3 797,3 797,3 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-07 1 1 801,37 801,37 801,37 801,37 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-08 1 1 797,86 797,86 797,86 797,86 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-09 1 1 800,81 800,81 800,81 800,81 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-12 1 1 804,29 804,29 804,29 804,29 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-13 1 1 804,26 804,26 804,26 804,26 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-14 1 1 807,29 807,29 807,29 807,29 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-15 1 1 805,13 805,13 805,13 805,13 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-16 1 1 806,87 806,87 806,87 806,87 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-19 1 1 809,29 809,29 809,29 809,29 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-20 1 1 806,26 806,26 806,26 806,26 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-21 1 1 802,37 802,37 802,37 802,37 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-22 1 1 800,51 800,51 800,51 800,51 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-23 1 1 804,37 804,37 804,37 804,37 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-26 1 1 813,76 813,76 813,76 813,76 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-27 1 1 816,01 816,01 816,01 816,01 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-28 1 1 820,89 820,89 820,89 820,89 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-29 1 1 823,64 823,64 823,64 823,64 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-09-30 1 1 829,28 829,28 829,28 829,28 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-03 1 1 832,87 832,87 832,87 832,87 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-04 1 1 835,09 835,09 835,09 835,09 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-05 1 1 829,31 829,31 829,31 829,31 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-06 1 1 819,02 819,02 819,02 819,02 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-07 1 1 818,77 818,77 818,77 818,77 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-10 1 1 823,41 823,41 823,41 823,41 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-11 1 1 823,55 823,55 823,55 823,55 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-12 1 1 817,46 817,46 817,46 817,46 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-13 1 1 805,18 805,18 805,18 805,18 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-14 1 1 806,74 806,74 806,74 806,74 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-17 1 1 805,02 805,02 805,02 805,02 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-18 1 1 801,05 801,05 801,05 801,05 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-19 1 1 788,78 788,78 788,78 788,78 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-20 1 1 793,24 793,24 793,24 793,24 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-21 1 1 783,63 783,63 783,63 783,63 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-24 1 1 792,92 792,92 792,92 792,92 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-25 1 1 801,83 801,83 801,83 801,83 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-26 1 1 805,34 805,34 805,34 805,34 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-27 1 1 800,19 800,19 800,19 800,19 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-28 1 1 795,62 795,62 795,62 795,62 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-10-31 1 1 810,53 810,53 810,53 810,53 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-01 1 1 815,84 815,84 815,84 815,84 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-02 1 1 814,81 814,81 814,81 814,81 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-03 1 1 828,39 828,39 828,39 828,39 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-04 1 1 827,92 827,92 827,92 827,92 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-07 1 1 833,74 833,74 833,74 833,74 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-08 1 1 832,23 832,23 832,23 832,23 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-09 1 1 831,3 831,3 831,3 831,3 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-10 1 1 833,91 833,91 833,91 833,91 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-11 1 1 839,67 839,67 839,67 839,67 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-14 1 1 845,34 845,34 845,34 845,34 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-15 1 1 840,96 840,96 840,96 840,96 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-16 1 1 839,84 839,84 839,84 839,84 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-17 1 1 843,76 843,76 843,76 843,76 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-18 1 1 847,7 847,7 847,7 847,7 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-21 1 1 848,05 848,05 848,05 848,05 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-22 1 1 849,55 849,55 849,55 849,55 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-23 1 1 848,45 848,45 848,45 848,45 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-24 1 1 846,31 846,31 846,31 846,31 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-25 1 1 851,09 851,09 851,09 851,09 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-28 1 1 855,02 855,02 855,02 855,02 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-29 1 1 851,54 851,54 851,54 851,54 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-11-30 1 1 845,63 845,63 845,63 845,63 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-01 1 1 853,58 853,58 853,58 853,58 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-02 1 1 862,82 862,82 862,82 862,82 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-05 1 1 863,65 863,65 863,65 863,65 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-06 1 1 867 867 867 867 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-07 1 1 866,45 866,45 866,45 866,45 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-08 1 1 868,24 868,24 868,24 868,24 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-12 1 1 871,81 871,81 871,81 871,81 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-13 1 1 871,07 871,07 871,07 871,07 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-14 1 1 867,47 867,47 867,47 867,47 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-15 1 1 867,18 867,18 867,18 867,18 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-16 1 1 869,15 869,15 869,15 869,15 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-19 1 1 875,13 875,13 875,13 875,13 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-20 1 1 872,59 872,59 872,59 872,59 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-21 1 1 876,91 876,91 876,91 876,91 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-22 1 1 880,35 880,35 880,35 880,35 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-23 1 1 889,04 889,04 889,04 889,04 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-27 1 1 894,52 894,52 894,52 894,52 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-28 1 1 893,57 893,57 893,57 893,57 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-29 1 1 896,51 896,51 896,51 896,51 916189 Handelsbanken Fonder AB Handelsbankens Reavinstfond SEK 2005-12-30 1 1 894,04 894,04 894,04 894,04 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-03 1 1 295,65 295,65 295,65 295,65 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-04 1 1 296,16 296,16 296,16 296,16 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-05 1 1 295,32 295,32 295,32 295,32 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-07 1 1 296,26 296,26 296,26 296,26 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-10 1 1 298,02 298,02 298,02 298,02 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-11 1 1 298,03 298,03 298,03 298,03 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-12 1 1 296,93 296,93 296,93 296,93 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-13 1 1 296,66 296,66 296,66 296,66 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-14 1 1 296,63 296,63 296,63 296,63 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-17 1 1 298,13 298,13 298,13 298,13 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-18 1 1 297,39 297,39 297,39 297,39 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-19 1 1 299,8 299,8 299,8 299,8 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-20 1 1 297,9 297,9 297,9 297,9 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-21 1 1 297,82 297,82 297,82 297,82 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-24 1 1 296,61 296,61 296,61 296,61 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-25 1 1 298,54 298,54 298,54 298,54 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-26 1 1 299,45 299,45 299,45 299,45 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-27 1 1 298,24 298,24 298,24 298,24 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-28 1 1 298,14 298,14 298,14 298,14 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-01-31 1 1 299,06 299,06 299,06 299,06 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-01 1 1 300,79 300,79 300,79 300,79 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-02 1 1 301,99 301,99 301,99 301,99 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-03 1 1 302,09 302,09 302,09 302,09 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-04 1 1 303,82 303,82 303,82 303,82 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-07 1 1 306,62 306,62 306,62 306,62 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-08 1 1 308,44 308,44 308,44 308,44 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-09 1 1 309,17 309,17 309,17 309,17 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-10 1 1 306,96 306,96 306,96 306,96 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-11 1 1 307,4 307,4 307,4 307,4 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-14 1 1 309,73 309,73 309,73 309,73 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-15 1 1 310,36 310,36 310,36 310,36 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-16 1 1 310,33 310,33 310,33 310,33 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-17 1 1 314,11 314,11 314,11 314,11 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-18 1 1 313,44 313,44 313,44 313,44 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-21 1 1 314,06 314,06 314,06 314,06 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-22 1 1 312,35 312,35 312,35 312,35 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-23 1 1 313,23 313,23 313,23 313,23 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-24 1 1 315,57 315,57 315,57 315,57 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-25 1 1 318,32 318,32 318,32 318,32 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-02-28 1 1 320,4 320,4 320,4 320,4 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-01 1 1 319,9 319,9 319,9 319,9 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-02 1 1 321,77 321,77 321,77 321,77 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-03 1 1 324,03 324,03 324,03 324,03 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-04 1 1 325,8 325,8 325,8 325,8 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-07 1 1 325,49 325,49 325,49 325,49 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-08 1 1 325,21 325,21 325,21 325,21 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-09 1 1 323,81 323,81 323,81 323,81 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-10 1 1 321,95 321,95 321,95 321,95 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-11 1 1 323,23 323,23 323,23 323,23 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-14 1 1 323,31 323,31 323,31 323,31 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-15 1 1 315,97 315,97 315,97 315,97 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-16 1 1 314,7 314,7 314,7 314,7 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-17 1 1 314,6 314,6 314,6 314,6 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-18 1 1 315,11 315,11 315,11 315,11 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-21 1 1 315,2 315,2 315,2 315,2 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-22 1 1 316,19 316,19 316,19 316,19 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-23 1 1 314,36 314,36 314,36 314,36 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-24 1 1 317,25 317,25 317,25 317,25 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-29 1 1 316,83 316,83 316,83 316,83 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-30 1 1 315,35 315,35 315,35 315,35 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-03-31 1 1 317,43 317,43 317,43 317,43 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-01 1 1 319,51 319,51 319,51 319,51 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-04 1 1 319,62 319,62 319,62 319,62 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-05 1 1 321,78 321,78 321,78 321,78 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-06 1 1 324,61 324,61 324,61 324,61 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-07 1 1 325,2 325,2 325,2 325,2 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-08 1 1 326,69 326,69 326,69 326,69 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-11 1 1 325,91 325,91 325,91 325,91 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-12 1 1 325,31 325,31 325,31 325,31 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-13 1 1 327,54 327,54 327,54 327,54 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-14 1 1 327,49 327,49 327,49 327,49 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-15 1 1 322,45 322,45 322,45 322,45 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-18 1 1 315,9 315,9 315,9 315,9 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-19 1 1 320,22 320,22 320,22 320,22 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-20 1 1 322,19 322,19 322,19 322,19 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-21 1 1 320,03 320,03 320,03 320,03 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-22 1 1 320,48 320,48 320,48 320,48 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-25 1 1 318,73 318,73 318,73 318,73 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-26 1 1 317,78 317,78 317,78 317,78 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-27 1 1 309,77 309,77 309,77 309,77 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-28 1 1 306,76 306,76 306,76 306,76 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-04-29 1 1 308,02 308,02 308,02 308,02 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-02 1 1 310,84 310,84 310,84 310,84 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-03 1 1 310,48 310,48 310,48 310,48 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-04 1 1 309,32 309,32 309,32 309,32 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-06 1 1 311,19 311,19 311,19 311,19 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-09 1 1 311,6 311,6 311,6 311,6 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-10 1 1 309,61 309,61 309,61 309,61 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-11 1 1 308,23 308,23 308,23 308,23 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-12 1 1 309,26 309,26 309,26 309,26 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-13 1 1 308,46 308,46 308,46 308,46 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-16 1 1 309,41 309,41 309,41 309,41 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-17 1 1 311,46 311,46 311,46 311,46 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-18 1 1 314,41 314,41 314,41 314,41 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-19 1 1 315,46 315,46 315,46 315,46 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-20 1 1 315,02 315,02 315,02 315,02 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-23 1 1 316,12 316,12 316,12 316,12 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-24 1 1 317,49 317,49 317,49 317,49 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-25 1 1 318,12 318,12 318,12 318,12 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-26 1 1 320,76 320,76 320,76 320,76 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-27 1 1 320,96 320,96 320,96 320,96 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-30 1 1 321,96 321,96 321,96 321,96 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-05-31 1 1 322,6 322,6 322,6 322,6 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-01 1 1 321,79 321,79 321,79 321,79 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-02 1 1 320,07 320,07 320,07 320,07 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-03 1 1 320,59 320,59 320,59 320,59 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-07 1 1 323,36 323,36 323,36 323,36 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-08 1 1 326,53 326,53 326,53 326,53 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-09 1 1 327,14 327,14 327,14 327,14 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-10 1 1 329,21 329,21 329,21 329,21 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-13 1 1 331,42 331,42 331,42 331,42 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-14 1 1 332,86 332,86 332,86 332,86 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-15 1 1 332,63 332,63 332,63 332,63 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-16 1 1 331,33 331,33 331,33 331,33 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-17 1 1 331,99 331,99 331,99 331,99 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-20 1 1 332,15 332,15 332,15 332,15 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-21 1 1 332,06 332,06 332,06 332,06 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-22 1 1 334,33 334,33 334,33 334,33 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-23 1 1 335,05 335,05 335,05 335,05 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-27 1 1 331,36 331,36 331,36 331,36 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-28 1 1 333,66 333,66 333,66 333,66 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-29 1 1 335,1 335,1 335,1 335,1 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-06-30 1 1 336,71 336,71 336,71 336,71 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-01 1 1 337,21 337,21 337,21 337,21 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-04 1 1 339,19 339,19 339,19 339,19 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-05 1 1 339,95 339,95 339,95 339,95 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-06 1 1 341,11 341,11 341,11 341,11 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-07 1 1 335,38 335,38 335,38 335,38 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-08 1 1 340,08 340,08 340,08 340,08 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-11 1 1 343,94 343,94 343,94 343,94 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-12 1 1 344,7 344,7 344,7 344,7 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-13 1 1 345,71 345,71 345,71 345,71 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-14 1 1 345,84 345,84 345,84 345,84 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-15 1 1 344,84 344,84 344,84 344,84 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-18 1 1 345,33 345,33 345,33 345,33 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-19 1 1 345,06 345,06 345,06 345,06 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-20 1 1 344,19 344,19 344,19 344,19 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-21 1 1 345,87 345,87 345,87 345,87 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-22 1 1 347,23 347,23 347,23 347,23 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-25 1 1 346,88 346,88 346,88 346,88 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-26 1 1 345,91 345,91 345,91 345,91 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-27 1 1 347,65 347,65 347,65 347,65 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-28 1 1 349,99 349,99 349,99 349,99 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-07-29 1 1 350,34 350,34 350,34 350,34 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-01 1 1 352,16 352,16 352,16 352,16 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-02 1 1 353,25 353,25 353,25 353,25 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-03 1 1 353,76 353,76 353,76 353,76 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-04 1 1 352 352 352 352 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-05 1 1 351,94 351,94 351,94 351,94 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-08 1 1 353,73 353,73 353,73 353,73 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-09 1 1 354,25 354,25 354,25 354,25 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-10 1 1 354,17 354,17 354,17 354,17 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-11 1 1 351,99 351,99 351,99 351,99 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-12 1 1 354,31 354,31 354,31 354,31 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-15 1 1 355 355 355 355 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-16 1 1 355,6 355,6 355,6 355,6 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-17 1 1 354,6 354,6 354,6 354,6 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-18 1 1 355,26 355,26 355,26 355,26 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-19 1 1 357,35 357,35 357,35 357,35 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-22 1 1 358,26 358,26 358,26 358,26 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-23 1 1 356,88 356,88 356,88 356,88 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-24 1 1 350,15 350,15 350,15 350,15 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-25 1 1 348,1 348,1 348,1 348,1 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-26 1 1 348,37 348,37 348,37 348,37 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-29 1 1 347,14 347,14 347,14 347,14 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-30 1 1 350,11 350,11 350,11 350,11 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-08-31 1 1 352,05 352,05 352,05 352,05 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-01 1 1 354,6 354,6 354,6 354,6 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-02 1 1 353,04 353,04 353,04 353,04 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-05 1 1 354,97 354,97 354,97 354,97 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-06 1 1 357,17 357,17 357,17 357,17 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-07 1 1 359,22 359,22 359,22 359,22 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-08 1 1 359,05 359,05 359,05 359,05 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-09 1 1 361,39 361,39 361,39 361,39 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-12 1 1 361,53 361,53 361,53 361,53 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-13 1 1 361 361 361 361 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-14 1 1 361,65 361,65 361,65 361,65 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-15 1 1 362,06 362,06 362,06 362,06 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-16 1 1 362,57 362,57 362,57 362,57 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-19 1 1 364,61 364,61 364,61 364,61 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-20 1 1 364,2 364,2 364,2 364,2 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-21 1 1 363,53 363,53 363,53 363,53 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-22 1 1 362,5 362,5 362,5 362,5 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-23 1 1 363,33 363,33 363,33 363,33 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-26 1 1 366,11 366,11 366,11 366,11 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-27 1 1 368,37 368,37 368,37 368,37 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-28 1 1 370,03 370,03 370,03 370,03 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-29 1 1 369,93 369,93 369,93 369,93 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-09-30 1 1 371,05 371,05 371,05 371,05 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-03 1 1 372,07 372,07 372,07 372,07 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-04 1 1 372,35 372,35 372,35 372,35 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-05 1 1 370,66 370,66 370,66 370,66 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-06 1 1 365,32 365,32 365,32 365,32 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-07 1 1 365,22 365,22 365,22 365,22 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-10 1 1 368,32 368,32 368,32 368,32 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-11 1 1 368,79 368,79 368,79 368,79 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-12 1 1 366,8 366,8 366,8 366,8 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-13 1 1 361,25 361,25 361,25 361,25 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-14 1 1 359,02 359,02 359,02 359,02 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-17 1 1 359,13 359,13 359,13 359,13 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-18 1 1 359,03 359,03 359,03 359,03 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-19 1 1 352,05 352,05 352,05 352,05 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-20 1 1 353,59 353,59 353,59 353,59 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-21 1 1 347,75 347,75 347,75 347,75 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-24 1 1 353,01 353,01 353,01 353,01 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-25 1 1 357,21 357,21 357,21 357,21 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-26 1 1 358,33 358,33 358,33 358,33 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-27 1 1 357,53 357,53 357,53 357,53 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-28 1 1 356,34 356,34 356,34 356,34 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-10-31 1 1 361,15 361,15 361,15 361,15 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-01 1 1 363,26 363,26 363,26 363,26 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-02 1 1 364,62 364,62 364,62 364,62 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-03 1 1 368,55 368,55 368,55 368,55 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-04 1 1 369,45 369,45 369,45 369,45 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-07 1 1 370,67 370,67 370,67 370,67 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-08 1 1 370,47 370,47 370,47 370,47 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-09 1 1 371,17 371,17 371,17 371,17 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-10 1 1 373,47 373,47 373,47 373,47 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-11 1 1 375,3 375,3 375,3 375,3 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-14 1 1 376,92 376,92 376,92 376,92 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-15 1 1 377,87 377,87 377,87 377,87 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-16 1 1 377,41 377,41 377,41 377,41 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-17 1 1 379,5 379,5 379,5 379,5 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-18 1 1 380,59 380,59 380,59 380,59 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-21 1 1 382,43 382,43 382,43 382,43 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-22 1 1 384,09 384,09 384,09 384,09 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-23 1 1 384,49 384,49 384,49 384,49 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-24 1 1 384,33 384,33 384,33 384,33 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-25 1 1 386,22 386,22 386,22 386,22 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-28 1 1 386,23 386,23 386,23 386,23 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-29 1 1 386,99 386,99 386,99 386,99 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-11-30 1 1 386,27 386,27 386,27 386,27 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-01 1 1 388,78 388,78 388,78 388,78 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-02 1 1 391,93 391,93 391,93 391,93 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-05 1 1 393,39 393,39 393,39 393,39 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-06 1 1 393,94 393,94 393,94 393,94 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-07 1 1 396,73 396,73 396,73 396,73 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-08 1 1 396,01 396,01 396,01 396,01 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-12 1 1 397,53 397,53 397,53 397,53 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-13 1 1 397,47 397,47 397,47 397,47 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-14 1 1 396,83 396,83 396,83 396,83 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-15 1 1 396,28 396,28 396,28 396,28 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-16 1 1 398,37 398,37 398,37 398,37 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-19 1 1 400,12 400,12 400,12 400,12 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-20 1 1 401,33 401,33 401,33 401,33 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-21 1 1 404,52 404,52 404,52 404,52 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-22 1 1 406,46 406,46 406,46 406,46 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-23 1 1 408,67 408,67 408,67 408,67 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-27 1 1 411,59 411,59 411,59 411,59 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-28 1 1 411,62 411,62 411,62 411,62 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-29 1 1 413,65 413,65 413,65 413,65 952010 Handelsbanken Fonder AB Handelsbankens Småbolagsfond SEK 2005-12-30 1 1 414,32 414,32 414,32 414,32 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-03 1 1 101,13 101,13 101,13 101,13 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-04 1 1 101,44 101,44 101,44 101,44 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-05 1 1 100,95 100,95 100,95 100,95 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-07 1 1 99,7 99,7 99,7 99,7 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-10 1 1 100,89 100,89 100,89 100,89 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-11 1 1 100,97 100,97 100,97 100,97 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-12 1 1 100,69 100,69 100,69 100,69 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-13 1 1 100,48 100,48 100,48 100,48 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-14 1 1 101,89 101,89 101,89 101,89 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-17 1 1 103,56 103,56 103,56 103,56 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-18 1 1 104,03 104,03 104,03 104,03 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-19 1 1 102,72 102,72 102,72 102,72 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-20 1 1 102,96 102,96 102,96 102,96 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-21 1 1 102,81 102,81 102,81 102,81 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-24 1 1 102,82 102,82 102,82 102,82 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-25 1 1 103,32 103,32 103,32 103,32 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-26 1 1 104,48 104,48 104,48 104,48 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-27 1 1 104,13 104,13 104,13 104,13 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-28 1 1 104,94 104,94 104,94 104,94 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-01-31 1 1 106,06 106,06 106,06 106,06 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-01 1 1 106,3 106,3 106,3 106,3 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-02 1 1 106,29 106,29 106,29 106,29 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-03 1 1 106,98 106,98 106,98 106,98 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-04 1 1 107,83 107,83 107,83 107,83 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-07 1 1 109,57 109,57 109,57 109,57 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-08 1 1 110,41 110,41 110,41 110,41 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-09 1 1 109,88 109,88 109,88 109,88 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-10 1 1 109,63 109,63 109,63 109,63 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-11 1 1 109,47 109,47 109,47 109,47 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-14 1 1 110,68 110,68 110,68 110,68 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-15 1 1 110,51 110,51 110,51 110,51 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-16 1 1 109,96 109,96 109,96 109,96 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-17 1 1 109,92 109,92 109,92 109,92 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-18 1 1 110,34 110,34 110,34 110,34 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-21 1 1 110,86 110,86 110,86 110,86 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-22 1 1 109,21 109,21 109,21 109,21 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-23 1 1 108,91 108,91 108,91 108,91 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-24 1 1 109,29 109,29 109,29 109,29 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-25 1 1 110,71 110,71 110,71 110,71 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-02-28 1 1 111,56 111,56 111,56 111,56 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-01 1 1 112,25 112,25 112,25 112,25 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-02 1 1 111,43 111,43 111,43 111,43 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-03 1 1 111,53 111,53 111,53 111,53 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-04 1 1 110,8 110,8 110,8 110,8 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-07 1 1 111,22 111,22 111,22 111,22 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-08 1 1 111,17 111,17 111,17 111,17 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-09 1 1 110,23 110,23 110,23 110,23 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-10 1 1 109,31 109,31 109,31 109,31 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-11 1 1 109,3 109,3 109,3 109,3 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-14 1 1 108,81 108,81 108,81 108,81 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-15 1 1 107,39 107,39 107,39 107,39 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-16 1 1 106,81 106,81 106,81 106,81 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-17 1 1 105,78 105,78 105,78 105,78 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-18 1 1 106,42 106,42 106,42 106,42 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-21 1 1 107,4 107,4 107,4 107,4 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-22 1 1 106,55 106,55 106,55 106,55 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-23 1 1 106,35 106,35 106,35 106,35 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-24 1 1 105,66 105,66 105,66 105,66 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-29 1 1 105,67 105,67 105,67 105,67 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-30 1 1 105,01 105,01 105,01 105,01 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-03-31 1 1 106,52 106,52 106,52 106,52 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-01 1 1 108,17 108,17 108,17 108,17 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-04 1 1 109,09 109,09 109,09 109,09 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-05 1 1 109,08 109,08 109,08 109,08 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-06 1 1 109,07 109,07 109,07 109,07 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-07 1 1 108,66 108,66 108,66 108,66 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-08 1 1 109,9 109,9 109,9 109,9 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-11 1 1 109,09 109,09 109,09 109,09 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-12 1 1 108,42 108,42 108,42 108,42 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-13 1 1 108,9 108,9 108,9 108,9 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-14 1 1 108,33 108,33 108,33 108,33 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-15 1 1 106,83 106,83 106,83 106,83 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-18 1 1 104,26 104,26 104,26 104,26 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-19 1 1 104,16 104,16 104,16 104,16 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-20 1 1 104,63 104,63 104,63 104,63 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-21 1 1 103,91 103,91 103,91 103,91 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-22 1 1 104,9 104,9 104,9 104,9 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-25 1 1 105,29 105,29 105,29 105,29 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-26 1 1 106,01 106,01 106,01 106,01 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-27 1 1 106,17 106,17 106,17 106,17 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-28 1 1 105,38 105,38 105,38 105,38 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-04-29 1 1 104,14 104,14 104,14 104,14 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-02 1 1 105,59 105,59 105,59 105,59 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-03 1 1 106,21 106,21 106,21 106,21 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-04 1 1 105,96 105,96 105,96 105,96 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-06 1 1 107,95 107,95 107,95 107,95 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-09 1 1 109,28 109,28 109,28 109,28 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-10 1 1 109,34 109,34 109,34 109,34 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-11 1 1 107,7 107,7 107,7 107,7 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-12 1 1 108,74 108,74 108,74 108,74 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-13 1 1 108,36 108,36 108,36 108,36 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-16 1 1 108,53 108,53 108,53 108,53 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-17 1 1 108,64 108,64 108,64 108,64 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-18 1 1 108,37 108,37 108,37 108,37 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-19 1 1 109,65 109,65 109,65 109,65 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-20 1 1 109,98 109,98 109,98 109,98 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-23 1 1 110,17 110,17 110,17 110,17 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-24 1 1 109,93 109,93 109,93 109,93 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-25 1 1 109,66 109,66 109,66 109,66 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-26 1 1 110,41 110,41 110,41 110,41 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-27 1 1 111,84 111,84 111,84 111,84 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-30 1 1 112,43 112,43 112,43 112,43 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-05-31 1 1 113,34 113,34 113,34 113,34 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-01 1 1 113,11 113,11 113,11 113,11 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-02 1 1 114,11 114,11 114,11 114,11 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-03 1 1 114,63 114,63 114,63 114,63 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-07 1 1 115,26 115,26 115,26 115,26 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-08 1 1 114,65 114,65 114,65 114,65 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-09 1 1 115,78 115,78 115,78 115,78 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-10 1 1 116,1 116,1 116,1 116,1 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-13 1 1 118,34 118,34 118,34 118,34 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-14 1 1 118,48 118,48 118,48 118,48 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-15 1 1 120,13 120,13 120,13 120,13 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-16 1 1 120,35 120,35 120,35 120,35 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-17 1 1 120,82 120,82 120,82 120,82 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-20 1 1 119,84 119,84 119,84 119,84 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-21 1 1 120,28 120,28 120,28 120,28 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-22 1 1 120,92 120,92 120,92 120,92 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-23 1 1 122,81 122,81 122,81 122,81 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-27 1 1 121,38 121,38 121,38 121,38 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-28 1 1 122,26 122,26 122,26 122,26 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-29 1 1 124,02 124,02 124,02 124,02 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-06-30 1 1 123,69 123,69 123,69 123,69 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-01 1 1 124,09 124,09 124,09 124,09 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-04 1 1 125,39 125,39 125,39 125,39 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-05 1 1 125,03 125,03 125,03 125,03 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-06 1 1 124,06 124,06 124,06 124,06 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-07 1 1 123,68 123,68 123,68 123,68 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-08 1 1 123,73 123,73 123,73 123,73 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-11 1 1 125,14 125,14 125,14 125,14 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-12 1 1 125,71 125,71 125,71 125,71 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-13 1 1 125,87 125,87 125,87 125,87 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-14 1 1 126,22 126,22 126,22 126,22 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-15 1 1 126,63 126,63 126,63 126,63 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-18 1 1 126,95 126,95 126,95 126,95 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-19 1 1 128,12 128,12 128,12 128,12 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-20 1 1 127,77 127,77 127,77 127,77 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-21 1 1 128,62 128,62 128,62 128,62 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-22 1 1 128,97 128,97 128,97 128,97 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-25 1 1 130,24 130,24 130,24 130,24 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-26 1 1 128,86 128,86 128,86 128,86 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-27 1 1 129,82 129,82 129,82 129,82 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-28 1 1 130,59 130,59 130,59 130,59 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-07-29 1 1 130,22 130,22 130,22 130,22 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-01 1 1 129,86 129,86 129,86 129,86 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-02 1 1 131,1 131,1 131,1 131,1 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-03 1 1 131,23 131,23 131,23 131,23 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-04 1 1 131,33 131,33 131,33 131,33 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-05 1 1 129,97 129,97 129,97 129,97 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-08 1 1 129,45 129,45 129,45 129,45 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-09 1 1 129,51 129,51 129,51 129,51 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-10 1 1 130,67 130,67 130,67 130,67 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-11 1 1 131,32 131,32 131,32 131,32 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-12 1 1 129,5 129,5 129,5 129,5 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-15 1 1 129,14 129,14 129,14 129,14 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-16 1 1 129,49 129,49 129,49 129,49 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-17 1 1 130,29 130,29 130,29 130,29 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-18 1 1 129,55 129,55 129,55 129,55 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-19 1 1 129,62 129,62 129,62 129,62 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-22 1 1 130,6 130,6 130,6 130,6 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-23 1 1 130,88 130,88 130,88 130,88 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-24 1 1 129,28 129,28 129,28 129,28 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-25 1 1 129,14 129,14 129,14 129,14 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-26 1 1 128,11 128,11 128,11 128,11 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-29 1 1 126,12 126,12 126,12 126,12 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-30 1 1 127,86 127,86 127,86 127,86 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-08-31 1 1 128,72 128,72 128,72 128,72 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-01 1 1 129,36 129,36 129,36 129,36 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-02 1 1 128,86 128,86 128,86 128,86 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-05 1 1 128,9 128,9 128,9 128,9 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-06 1 1 130,3 130,3 130,3 130,3 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-07 1 1 130,99 130,99 130,99 130,99 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-08 1 1 132,22 132,22 132,22 132,22 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-09 1 1 132,91 132,91 132,91 132,91 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-12 1 1 134,36 134,36 134,36 134,36 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-13 1 1 134,7 134,7 134,7 134,7 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-14 1 1 134,91 134,91 134,91 134,91 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-15 1 1 135,63 135,63 135,63 135,63 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-16 1 1 135,63 135,63 135,63 135,63 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-19 1 1 137,98 137,98 137,98 137,98 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-20 1 1 139,16 139,16 139,16 139,16 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-21 1 1 138,98 138,98 138,98 138,98 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-22 1 1 139,34 139,34 139,34 139,34 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-23 1 1 139,09 139,09 139,09 139,09 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-26 1 1 140,93 140,93 140,93 140,93 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-27 1 1 142,09 142,09 142,09 142,09 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-28 1 1 142,52 142,52 142,52 142,52 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-29 1 1 143,3 143,3 143,3 143,3 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-09-30 1 1 143,55 143,55 143,55 143,55 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-03 1 1 143,96 143,96 143,96 143,96 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-04 1 1 145,99 145,99 145,99 145,99 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-05 1 1 144,4 144,4 144,4 144,4 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-06 1 1 139,63 139,63 139,63 139,63 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-07 1 1 137,09 137,09 137,09 137,09 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-10 1 1 138,85 138,85 138,85 138,85 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-11 1 1 140,05 140,05 140,05 140,05 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-12 1 1 140,63 140,63 140,63 140,63 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-13 1 1 138,02 138,02 138,02 138,02 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-14 1 1 136,65 136,65 136,65 136,65 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-17 1 1 135,38 135,38 135,38 135,38 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-18 1 1 137,65 137,65 137,65 137,65 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-19 1 1 135,43 135,43 135,43 135,43 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-20 1 1 135,58 135,58 135,58 135,58 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-21 1 1 133,66 133,66 133,66 133,66 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-24 1 1 136,03 136,03 136,03 136,03 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-25 1 1 137,55 137,55 137,55 137,55 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-26 1 1 135,07 135,07 135,07 135,07 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-27 1 1 135 135 135 135 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-28 1 1 132,74 132,74 132,74 132,74 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-10-31 1 1 136,26 136,26 136,26 136,26 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-01 1 1 139,23 139,23 139,23 139,23 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-02 1 1 141,37 141,37 141,37 141,37 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-03 1 1 143 143 143 143 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-04 1 1 144,29 144,29 144,29 144,29 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-07 1 1 145,59 145,59 145,59 145,59 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-08 1 1 145,99 145,99 145,99 145,99 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-09 1 1 146,29 146,29 146,29 146,29 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-10 1 1 146,88 146,88 146,88 146,88 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-11 1 1 148,84 148,84 148,84 148,84 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-14 1 1 147,45 147,45 147,45 147,45 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-15 1 1 148,44 148,44 148,44 148,44 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-16 1 1 148,79 148,79 148,79 148,79 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-17 1 1 150,3 150,3 150,3 150,3 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-18 1 1 150,83 150,83 150,83 150,83 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-21 1 1 149,59 149,59 149,59 149,59 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-22 1 1 149,59 149,59 149,59 149,59 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-23 1 1 149,07 149,07 149,07 149,07 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-24 1 1 149,53 149,53 149,53 149,53 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-25 1 1 150,42 150,42 150,42 150,42 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-28 1 1 152,48 152,48 152,48 152,48 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-29 1 1 149,71 149,71 149,71 149,71 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-11-30 1 1 150,98 150,98 150,98 150,98 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-01 1 1 150,95 150,95 150,95 150,95 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-02 1 1 153,4 153,4 153,4 153,4 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-05 1 1 153,64 153,64 153,64 153,64 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-06 1 1 153,24 153,24 153,24 153,24 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-07 1 1 154,69 154,69 154,69 154,69 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-08 1 1 153,51 153,51 153,51 153,51 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-12 1 1 153,08 153,08 153,08 153,08 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-13 1 1 152,43 152,43 152,43 152,43 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-14 1 1 152,15 152,15 152,15 152,15 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-15 1 1 152,51 152,51 152,51 152,51 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-16 1 1 152,49 152,49 152,49 152,49 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-19 1 1 153,22 153,22 153,22 153,22 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-20 1 1 152,02 152,02 152,02 152,02 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-21 1 1 154,73 154,73 154,73 154,73 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-22 1 1 156,14 156,14 156,14 156,14 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-23 1 1 156,66 156,66 156,66 156,66 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-27 1 1 158,3 158,3 158,3 158,3 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-28 1 1 156,33 156,33 156,33 156,33 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-29 1 1 157,04 157,04 157,04 157,04 987842 Handelsbanken Fonder AB Handelsbankens Tillväxtmarknadsfond SEK 2005-12-30 1 1 157,91 157,91 157,91 157,91 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-03 1 1 203,71 203,71 203,71 203,71 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-04 1 1 205,25 205,25 205,25 205,25 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-05 1 1 204,73 204,73 204,73 204,73 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-07 1 1 205,03 205,03 205,03 205,03 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-10 1 1 205,87 205,87 205,87 205,87 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-11 1 1 205,55 205,55 205,55 205,55 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-12 1 1 205,92 205,92 205,92 205,92 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-13 1 1 204,52 204,52 204,52 204,52 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-14 1 1 205,39 205,39 205,39 205,39 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-17 1 1 206,55 206,55 206,55 206,55 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-18 1 1 206,31 206,31 206,31 206,31 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-19 1 1 207,46 207,46 207,46 207,46 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-20 1 1 207,12 207,12 207,12 207,12 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-21 1 1 206,99 206,99 206,99 206,99 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-24 1 1 205,37 205,37 205,37 205,37 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-25 1 1 206,01 206,01 206,01 206,01 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-26 1 1 207,26 207,26 207,26 207,26 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-27 1 1 207,55 207,55 207,55 207,55 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-28 1 1 208,21 208,21 208,21 208,21 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-01-31 1 1 208,57 208,57 208,57 208,57 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-01 1 1 209,14 209,14 209,14 209,14 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-02 1 1 209,5 209,5 209,5 209,5 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-03 1 1 210,31 210,31 210,31 210,31 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-04 1 1 210,24 210,24 210,24 210,24 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-07 1 1 214,18 214,18 214,18 214,18 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-08 1 1 215,03 215,03 215,03 215,03 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-09 1 1 215,24 215,24 215,24 215,24 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-10 1 1 214,64 214,64 214,64 214,64 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-11 1 1 214,54 214,54 214,54 214,54 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-14 1 1 214,87 214,87 214,87 214,87 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-15 1 1 213,78 213,78 213,78 213,78 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-16 1 1 213,41 213,41 213,41 213,41 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-17 1 1 214,21 214,21 214,21 214,21 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-18 1 1 213,31 213,31 213,31 213,31 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-21 1 1 214,06 214,06 214,06 214,06 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-22 1 1 208,25 208,25 208,25 208,25 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-23 1 1 205,97 205,97 205,97 205,97 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-24 1 1 205,65 205,65 205,65 205,65 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-25 1 1 207,77 207,77 207,77 207,77 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-02-28 1 1 208,83 208,83 208,83 208,83 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-01 1 1 208,92 208,92 208,92 208,92 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-02 1 1 210,81 210,81 210,81 210,81 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-03 1 1 210,14 210,14 210,14 210,14 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-04 1 1 210,56 210,56 210,56 210,56 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-07 1 1 210,67 210,67 210,67 210,67 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-08 1 1 210,68 210,68 210,68 210,68 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-09 1 1 208,86 208,86 208,86 208,86 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-10 1 1 207,03 207,03 207,03 207,03 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-11 1 1 207,13 207,13 207,13 207,13 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-14 1 1 206,64 206,64 206,64 206,64 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-15 1 1 207,56 207,56 207,56 207,56 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-16 1 1 205,56 205,56 205,56 205,56 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-17 1 1 204,99 204,99 204,99 204,99 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-18 1 1 206,72 206,72 206,72 206,72 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-21 1 1 208,04 208,04 208,04 208,04 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-22 1 1 206,97 206,97 206,97 206,97 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-23 1 1 206,61 206,61 206,61 206,61 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-24 1 1 206,96 206,96 206,96 206,96 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-29 1 1 207,97 207,97 207,97 207,97 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-30 1 1 206,72 206,72 206,72 206,72 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-03-31 1 1 208,74 208,74 208,74 208,74 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-01 1 1 209,84 209,84 209,84 209,84 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-04 1 1 209,64 209,64 209,64 209,64 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-05 1 1 210,4 210,4 210,4 210,4 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-06 1 1 211,13 211,13 211,13 211,13 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-07 1 1 210,7 210,7 210,7 210,7 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-08 1 1 213,11 213,11 213,11 213,11 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-11 1 1 210,74 210,74 210,74 210,74 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-12 1 1 209,44 209,44 209,44 209,44 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-13 1 1 211,17 211,17 211,17 211,17 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-14 1 1 211,29 211,29 211,29 211,29 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-15 1 1 208,88 208,88 208,88 208,88 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-18 1 1 204,25 204,25 204,25 204,25 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-19 1 1 204,95 204,95 204,95 204,95 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-20 1 1 205,27 205,27 205,27 205,27 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-21 1 1 202,8 202,8 202,8 202,8 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-22 1 1 204,92 204,92 204,92 204,92 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-25 1 1 205,35 205,35 205,35 205,35 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-26 1 1 205,48 205,48 205,48 205,48 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-27 1 1 204,73 204,73 204,73 204,73 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-28 1 1 205,45 205,45 205,45 205,45 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-04-29 1 1 204,81 204,81 204,81 204,81 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-02 1 1 207,69 207,69 207,69 207,69 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-03 1 1 208,7 208,7 208,7 208,7 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-04 1 1 207 207 207 207 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-06 1 1 209,1 209,1 209,1 209,1 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-09 1 1 210,84 210,84 210,84 210,84 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-10 1 1 210,86 210,86 210,86 210,86 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-11 1 1 210,06 210,06 210,06 210,06 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-12 1 1 212,36 212,36 212,36 212,36 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-13 1 1 211,86 211,86 211,86 211,86 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-16 1 1 211,61 211,61 211,61 211,61 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-17 1 1 211,98 211,98 211,98 211,98 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-18 1 1 213,2 213,2 213,2 213,2 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-19 1 1 214,51 214,51 214,51 214,51 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-20 1 1 215,19 215,19 215,19 215,19 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-23 1 1 216 216 216 216 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-24 1 1 215,68 215,68 215,68 215,68 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-25 1 1 216,06 216,06 216,06 216,06 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-26 1 1 216,82 216,82 216,82 216,82 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-27 1 1 217,73 217,73 217,73 217,73 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-30 1 1 219 219 219 219 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-05-31 1 1 220,47 220,47 220,47 220,47 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-01 1 1 220,69 220,69 220,69 220,69 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-02 1 1 221,92 221,92 221,92 221,92 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-03 1 1 221,87 221,87 221,87 221,87 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-07 1 1 221,02 221,02 221,02 221,02 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-08 1 1 222,12 222,12 222,12 222,12 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-09 1 1 222,67 222,67 222,67 222,67 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-10 1 1 225,44 225,44 225,44 225,44 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-13 1 1 227,75 227,75 227,75 227,75 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-14 1 1 228,12 228,12 228,12 228,12 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-15 1 1 229,03 229,03 229,03 229,03 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-16 1 1 228,54 228,54 228,54 228,54 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-17 1 1 228,15 228,15 228,15 228,15 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-20 1 1 227,29 227,29 227,29 227,29 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-21 1 1 230,05 230,05 230,05 230,05 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-22 1 1 230,7 230,7 230,7 230,7 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-23 1 1 233,92 233,92 233,92 233,92 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-27 1 1 229,31 229,31 229,31 229,31 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-28 1 1 230,83 230,83 230,83 230,83 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-29 1 1 234,03 234,03 234,03 234,03 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-06-30 1 1 233,31 233,31 233,31 233,31 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-01 1 1 233,57 233,57 233,57 233,57 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-04 1 1 236,47 236,47 236,47 236,47 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-05 1 1 235,37 235,37 235,37 235,37 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-06 1 1 235,28 235,28 235,28 235,28 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-07 1 1 233,63 233,63 233,63 233,63 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-08 1 1 236,23 236,23 236,23 236,23 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-11 1 1 238,5 238,5 238,5 238,5 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-12 1 1 236,51 236,51 236,51 236,51 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-13 1 1 235,35 235,35 235,35 235,35 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-14 1 1 237,75 237,75 237,75 237,75 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-15 1 1 238,6 238,6 238,6 238,6 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-18 1 1 238,12 238,12 238,12 238,12 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-19 1 1 240,2 240,2 240,2 240,2 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-20 1 1 239,84 239,84 239,84 239,84 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-21 1 1 242,3 242,3 242,3 242,3 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-22 1 1 239,21 239,21 239,21 239,21 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-25 1 1 240,13 240,13 240,13 240,13 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-26 1 1 241,66 241,66 241,66 241,66 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-27 1 1 242,24 242,24 242,24 242,24 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-28 1 1 240,83 240,83 240,83 240,83 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-07-29 1 1 242,19 242,19 242,19 242,19 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-01 1 1 239,02 239,02 239,02 239,02 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-02 1 1 239,77 239,77 239,77 239,77 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-03 1 1 239,88 239,88 239,88 239,88 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-04 1 1 238,29 238,29 238,29 238,29 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-05 1 1 236,49 236,49 236,49 236,49 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-08 1 1 235,64 235,64 235,64 235,64 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-09 1 1 236,28 236,28 236,28 236,28 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-10 1 1 237,92 237,92 237,92 237,92 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-11 1 1 236,92 236,92 236,92 236,92 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-12 1 1 236,88 236,88 236,88 236,88 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-15 1 1 237,25 237,25 237,25 237,25 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-16 1 1 238,94 238,94 238,94 238,94 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-17 1 1 237,78 237,78 237,78 237,78 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-18 1 1 237,96 237,96 237,96 237,96 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-19 1 1 239,42 239,42 239,42 239,42 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-22 1 1 240,15 240,15 240,15 240,15 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-23 1 1 240,08 240,08 240,08 240,08 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-24 1 1 238,49 238,49 238,49 238,49 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-25 1 1 236,66 236,66 236,66 236,66 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-26 1 1 236,76 236,76 236,76 236,76 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-29 1 1 234,64 234,64 234,64 234,64 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-30 1 1 237,88 237,88 237,88 237,88 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-08-31 1 1 237,57 237,57 237,57 237,57 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-01 1 1 236,98 236,98 236,98 236,98 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-02 1 1 234,47 234,47 234,47 234,47 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-05 1 1 235,53 235,53 235,53 235,53 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-06 1 1 236,66 236,66 236,66 236,66 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-07 1 1 238,95 238,95 238,95 238,95 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-08 1 1 240,1 240,1 240,1 240,1 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-09 1 1 240,8 240,8 240,8 240,8 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-12 1 1 242,7 242,7 242,7 242,7 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-13 1 1 242,95 242,95 242,95 242,95 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-14 1 1 242,25 242,25 242,25 242,25 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-15 1 1 243,27 243,27 243,27 243,27 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-16 1 1 243,58 243,58 243,58 243,58 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-19 1 1 245,81 245,81 245,81 245,81 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-20 1 1 246,34 246,34 246,34 246,34 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-21 1 1 243,7 243,7 243,7 243,7 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-22 1 1 242,4 242,4 242,4 242,4 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-23 1 1 244,59 244,59 244,59 244,59 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-26 1 1 246,69 246,69 246,69 246,69 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-27 1 1 248,3 248,3 248,3 248,3 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-28 1 1 248,65 248,65 248,65 248,65 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-29 1 1 248,97 248,97 248,97 248,97 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-09-30 1 1 248,49 248,49 248,49 248,49 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-03 1 1 250,39 250,39 250,39 250,39 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-04 1 1 250,82 250,82 250,82 250,82 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-05 1 1 248,47 248,47 248,47 248,47 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-06 1 1 241,99 241,99 241,99 241,99 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-07 1 1 240,72 240,72 240,72 240,72 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-10 1 1 242,83 242,83 242,83 242,83 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-11 1 1 243,92 243,92 243,92 243,92 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-12 1 1 243,07 243,07 243,07 243,07 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-13 1 1 242,04 242,04 242,04 242,04 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-14 1 1 243,09 243,09 243,09 243,09 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-17 1 1 244,58 244,58 244,58 244,58 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-18 1 1 245,7 245,7 245,7 245,7 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-19 1 1 242,16 242,16 242,16 242,16 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-20 1 1 244,72 244,72 244,72 244,72 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-21 1 1 241,74 241,74 241,74 241,74 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-24 1 1 244,2 244,2 244,2 244,2 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-25 1 1 244,84 244,84 244,84 244,84 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-26 1 1 244,26 244,26 244,26 244,26 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-27 1 1 242,21 242,21 242,21 242,21 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-28 1 1 240,97 240,97 240,97 240,97 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-10-31 1 1 246,61 246,61 246,61 246,61 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-01 1 1 249,59 249,59 249,59 249,59 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-02 1 1 249,99 249,99 249,99 249,99 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-03 1 1 252,84 252,84 252,84 252,84 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-04 1 1 255,04 255,04 255,04 255,04 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-07 1 1 257,73 257,73 257,73 257,73 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-08 1 1 258,07 258,07 258,07 258,07 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-09 1 1 257,42 257,42 257,42 257,42 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-10 1 1 257,56 257,56 257,56 257,56 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-11 1 1 260,66 260,66 260,66 260,66 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-14 1 1 259,7 259,7 259,7 259,7 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-15 1 1 261,44 261,44 261,44 261,44 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-16 1 1 260,16 260,16 260,16 260,16 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-17 1 1 262,02 262,02 262,02 262,02 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-18 1 1 263,45 263,45 263,45 263,45 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-21 1 1 261,36 261,36 261,36 261,36 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-22 1 1 263,06 263,06 263,06 263,06 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-23 1 1 262,35 262,35 262,35 262,35 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-24 1 1 262,1 262,1 262,1 262,1 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-25 1 1 261,97 261,97 261,97 261,97 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-28 1 1 263,55 263,55 263,55 263,55 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-29 1 1 262,29 262,29 262,29 262,29 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-11-30 1 1 262,29 262,29 262,29 262,29 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-01 1 1 263,03 263,03 263,03 263,03 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-02 1 1 264,34 264,34 264,34 264,34 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-05 1 1 263,95 263,95 263,95 263,95 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-06 1 1 262,41 262,41 262,41 262,41 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-07 1 1 264,22 264,22 264,22 264,22 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-08 1 1 261,75 261,75 261,75 261,75 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-12 1 1 261,37 261,37 261,37 261,37 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-13 1 1 262,34 262,34 262,34 262,34 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-14 1 1 261,14 261,14 261,14 261,14 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-15 1 1 262,72 262,72 262,72 262,72 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-16 1 1 264,35 264,35 264,35 264,35 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-19 1 1 263,37 263,37 263,37 263,37 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-20 1 1 262,48 262,48 262,48 262,48 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-21 1 1 265,93 265,93 265,93 265,93 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-22 1 1 267,33 267,33 267,33 267,33 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-23 1 1 268,47 268,47 268,47 268,47 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-27 1 1 269,22 269,22 269,22 269,22 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-28 1 1 266,17 266,17 266,17 266,17 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-29 1 1 267,24 267,24 267,24 267,24 123679 Handelsbanken Fonder AB Handelsbankens Utlandsfond SEK 2005-12-30 1 1 266,41 266,41 266,41 266,41 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-03 1 1 30,171 30,171 30,171 30,171 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-04 1 1 30,2512 30,2512 30,2512 30,2512 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-05 1 1 29,7868 29,7868 29,7868 29,7868 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-07 1 1 29,7978 29,7978 29,7978 29,7978 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-10 1 1 29,9421 29,9421 29,9421 29,9421 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-11 1 1 29,2915 29,2915 29,2915 29,2915 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-12 1 1 29,2237 29,2237 29,2237 29,2237 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-13 1 1 29,3174 29,3174 29,3174 29,3174 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-14 1 1 29,3814 29,3814 29,3814 29,3814 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-17 1 1 29,4778 29,4778 29,4778 29,4778 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-18 1 1 29,4707 29,4707 29,4707 29,4707 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-19 1 1 29,5092 29,5092 29,5092 29,5092 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-20 1 1 28,9446 28,9446 28,9446 28,9446 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-21 1 1 28,8929 28,8929 28,8929 28,8929 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-24 1 1 28,6002 28,6002 28,6002 28,6002 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-25 1 1 28,6633 28,6633 28,6633 28,6633 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-26 1 1 28,8536 28,8536 28,8536 28,8536 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-27 1 1 28,8773 28,8773 28,8773 28,8773 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-28 1 1 29,1257 29,1257 29,1257 29,1257 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-01-31 1 1 29,2187 29,2187 29,2187 29,2187 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-01 1 1 29,1709 29,1709 29,1709 29,1709 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-02 1 1 29,0881 29,0881 29,0881 29,0881 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-03 1 1 29,0336 29,0336 29,0336 29,0336 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-04 1 1 29,1894 29,1894 29,1894 29,1894 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-07 1 1 29,6668 29,6668 29,6668 29,6668 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-08 1 1 29,8646 29,8646 29,8646 29,8646 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-09 1 1 29,8966 29,8966 29,8966 29,8966 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-10 1 1 29,5723 29,5723 29,5723 29,5723 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-11 1 1 29,3085 29,3085 29,3085 29,3085 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-14 1 1 29,5804 29,5804 29,5804 29,5804 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-15 1 1 29,6243 29,6243 29,6243 29,6243 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-16 1 1 29,4474 29,4474 29,4474 29,4474 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-17 1 1 29,2996 29,2996 29,2996 29,2996 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-18 1 1 29,0836 29,0836 29,0836 29,0836 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-21 1 1 29,1048 29,1048 29,1048 29,1048 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-22 1 1 28,7119 28,7119 28,7119 28,7119 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-23 1 1 28,556 28,556 28,556 28,556 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-24 1 1 28,5795 28,5795 28,5795 28,5795 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-25 1 1 28,8843 28,8843 28,8843 28,8843 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-02-28 1 1 28,9356 28,9356 28,9356 28,9356 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-01 1 1 29,0054 29,0054 29,0054 29,0054 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-02 1 1 29,1685 29,1685 29,1685 29,1685 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-03 1 1 29,2808 29,2808 29,2808 29,2808 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-04 1 1 29,198 29,198 29,198 29,198 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-07 1 1 29,2937 29,2937 29,2937 29,2937 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-08 1 1 29,1411 29,1411 29,1411 29,1411 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-09 1 1 28,8806 28,8806 28,8806 28,8806 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-10 1 1 28,7974 28,7974 28,7974 28,7974 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-11 1 1 28,7314 28,7314 28,7314 28,7314 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-14 1 1 28,4434 28,4434 28,4434 28,4434 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-15 1 1 28,6014 28,6014 28,6014 28,6014 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-16 1 1 28,3079 28,3079 28,3079 28,3079 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-17 1 1 28,2139 28,2139 28,2139 28,2139 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-18 1 1 28,3373 28,3373 28,3373 28,3373 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-21 1 1 28,496 28,496 28,496 28,496 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-22 1 1 28,5885 28,5885 28,5885 28,5885 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-23 1 1 28,5164 28,5164 28,5164 28,5164 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-24 1 1 28,5838 28,5838 28,5838 28,5838 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-29 1 1 28,6219 28,6219 28,6219 28,6219 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-30 1 1 28,2836 28,2836 28,2836 28,2836 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-03-31 1 1 28,7407 28,7407 28,7407 28,7407 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-01 1 1 29,0064 29,0064 29,0064 29,0064 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-04 1 1 28,9633 28,9633 28,9633 28,9633 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-05 1 1 29,2243 29,2243 29,2243 29,2243 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-06 1 1 29,1996 29,1996 29,1996 29,1996 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-07 1 1 29,0143 29,0143 29,0143 29,0143 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-08 1 1 29,5211 29,5211 29,5211 29,5211 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-11 1 1 29,0522 29,0522 29,0522 29,0522 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-12 1 1 28,8536 28,8536 28,8536 28,8536 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-13 1 1 29,0952 29,0952 29,0952 29,0952 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-14 1 1 29,0661 29,0661 29,0661 29,0661 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-15 1 1 28,2321 28,2321 28,2321 28,2321 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-18 1 1 27,7714 27,7714 27,7714 27,7714 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-19 1 1 28,0177 28,0177 28,0177 28,0177 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-20 1 1 28,0555 28,0555 28,0555 28,0555 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-21 1 1 28,0542 28,0542 28,0542 28,0542 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-22 1 1 28,1488 28,1488 28,1488 28,1488 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-25 1 1 28,1904 28,1904 28,1904 28,1904 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-26 1 1 28,04 28,04 28,04 28,04 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-27 1 1 27,505 27,505 27,505 27,505 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-28 1 1 27,6963 27,6963 27,6963 27,6963 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-04-29 1 1 27,5544 27,5544 27,5544 27,5544 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-02 1 1 28,0424 28,0424 28,0424 28,0424 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-03 1 1 27,9475 27,9475 27,9475 27,9475 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-04 1 1 27,8914 27,8914 27,8914 27,8914 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-06 1 1 28,4079 28,4079 28,4079 28,4079 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-09 1 1 28,3881 28,3881 28,3881 28,3881 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-10 1 1 28,333 28,333 28,333 28,333 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-11 1 1 28,2435 28,2435 28,2435 28,2435 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-12 1 1 28,59 28,59 28,59 28,59 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-13 1 1 28,9125 28,9125 28,9125 28,9125 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-17 1 1 29,3579 29,3579 29,3579 29,3579 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-18 1 1 29,4899 29,4899 29,4899 29,4899 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-19 1 1 29,977 29,977 29,977 29,977 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-20 1 1 30,0128 30,0128 30,0128 30,0128 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-23 1 1 30,1615 30,1615 30,1615 30,1615 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-24 1 1 30,056 30,056 30,056 30,056 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-25 1 1 30,1837 30,1837 30,1837 30,1837 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-26 1 1 30,4747 30,4747 30,4747 30,4747 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-27 1 1 30,4522 30,4522 30,4522 30,4522 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-30 1 1 30,572 30,572 30,572 30,572 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-05-31 1 1 30,5937 30,5937 30,5937 30,5937 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-01 1 1 30,8939 30,8939 30,8939 30,8939 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-02 1 1 30,9085 30,9085 30,9085 30,9085 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-03 1 1 30,8597 30,8597 30,8597 30,8597 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-07 1 1 30,8208 30,8208 30,8208 30,8208 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-08 1 1 30,8474 30,8474 30,8474 30,8474 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-09 1 1 30,9447 30,9447 30,9447 30,9447 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-10 1 1 31,2544 31,2544 31,2544 31,2544 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-13 1 1 31,4412 31,4412 31,4412 31,4412 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-14 1 1 31,6311 31,6311 31,6311 31,6311 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-15 1 1 31,5699 31,5699 31,5699 31,5699 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-16 1 1 31,5987 31,5987 31,5987 31,5987 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-17 1 1 31,4225 31,4225 31,4225 31,4225 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-20 1 1 31,2549 31,2549 31,2549 31,2549 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-21 1 1 31,5235 31,5235 31,5235 31,5235 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-22 1 1 31,8759 31,8759 31,8759 31,8759 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-27 1 1 31,4235 31,4235 31,4235 31,4235 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-28 1 1 31,6864 31,6864 31,6864 31,6864 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-29 1 1 32,0425 32,0425 32,0425 32,0425 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-06-30 1 1 32,0596 32,0596 32,0596 32,0596 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-01 1 1 32,0313 32,0313 32,0313 32,0313 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-04 1 1 32,1885 32,1885 32,1885 32,1885 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-05 1 1 32,0462 32,0462 32,0462 32,0462 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-06 1 1 32,3479 32,3479 32,3479 32,3479 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-07 1 1 32,1431 32,1431 32,1431 32,1431 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-08 1 1 32,4181 32,4181 32,4181 32,4181 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-11 1 1 32,9156 32,9156 32,9156 32,9156 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-12 1 1 32,6479 32,6479 32,6479 32,6479 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-13 1 1 32,7467 32,7467 32,7467 32,7467 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-14 1 1 33,0409 33,0409 33,0409 33,0409 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-15 1 1 33,1843 33,1843 33,1843 33,1843 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-18 1 1 33,213 33,213 33,213 33,213 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-19 1 1 33,6097 33,6097 33,6097 33,6097 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-20 1 1 33,4272 33,4272 33,4272 33,4272 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-21 1 1 33,5935 33,5935 33,5935 33,5935 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-22 1 1 33,4868 33,4868 33,4868 33,4868 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-25 1 1 33,4153 33,4153 33,4153 33,4153 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-26 1 1 33,6608 33,6608 33,6608 33,6608 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-27 1 1 33,7362 33,7362 33,7362 33,7362 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-28 1 1 33,8646 33,8646 33,8646 33,8646 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-07-29 1 1 33,8081 33,8081 33,8081 33,8081 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-01 1 1 33,6058 33,6058 33,6058 33,6058 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-02 1 1 33,7358 33,7358 33,7358 33,7358 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-03 1 1 33,5878 33,5878 33,5878 33,5878 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-04 1 1 33,4466 33,4466 33,4466 33,4466 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-05 1 1 33,1687 33,1687 33,1687 33,1687 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-08 1 1 33,1353 33,1353 33,1353 33,1353 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-09 1 1 33,3096 33,3096 33,3096 33,3096 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-10 1 1 33,4586 33,4586 33,4586 33,4586 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-11 1 1 32,9525 32,9525 32,9525 32,9525 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-12 1 1 32,7655 32,7655 32,7655 32,7655 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-16 1 1 32,8271 32,8271 32,8271 32,8271 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-17 1 1 32,7994 32,7994 32,7994 32,7994 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-18 1 1 32,9571 32,9571 32,9571 32,9571 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-19 1 1 33,2662 33,2662 33,2662 33,2662 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-22 1 1 33,1632 33,1632 33,1632 33,1632 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-23 1 1 33,0942 33,0942 33,0942 33,0942 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-24 1 1 32,7497 32,7497 32,7497 32,7497 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-25 1 1 32,648 32,648 32,648 32,648 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-26 1 1 32,4376 32,4376 32,4376 32,4376 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-29 1 1 32,5107 32,5107 32,5107 32,5107 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-30 1 1 32,8067 32,8067 32,8067 32,8067 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-08-31 1 1 32,5499 32,5499 32,5499 32,5499 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-01 1 1 32,4638 32,4638 32,4638 32,4638 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-02 1 1 32,1314 32,1314 32,1314 32,1314 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-05 1 1 32,1069 32,1069 32,1069 32,1069 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-06 1 1 32,3603 32,3603 32,3603 32,3603 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-07 1 1 32,6499 32,6499 32,6499 32,6499 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-08 1 1 32,7591 32,7591 32,7591 32,7591 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-09 1 1 32,8437 32,8437 32,8437 32,8437 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-12 1 1 33,0382 33,0382 33,0382 33,0382 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-13 1 1 33,0511 33,0511 33,0511 33,0511 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-14 1 1 32,9571 32,9571 32,9571 32,9571 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-15 1 1 32,986 32,986 32,986 32,986 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-16 1 1 33,0097 33,0097 33,0097 33,0097 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-19 1 1 33,0129 33,0129 33,0129 33,0129 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-20 1 1 33,0196 33,0196 33,0196 33,0196 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-21 1 1 32,5058 32,5058 32,5058 32,5058 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-22 1 1 32,5178 32,5178 32,5178 32,5178 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-23 1 1 32,7797 32,7797 32,7797 32,7797 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-26 1 1 33,343 33,343 33,343 33,343 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-27 1 1 33,3023 33,3023 33,3023 33,3023 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-28 1 1 33,3305 33,3305 33,3305 33,3305 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-29 1 1 33,0607 33,0607 33,0607 33,0607 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-09-30 1 1 33,4557 33,4557 33,4557 33,4557 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-03 1 1 33,9683 33,9683 33,9683 33,9683 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-04 1 1 33,6434 33,6434 33,6434 33,6434 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-05 1 1 33,3169 33,3169 33,3169 33,3169 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-06 1 1 32,6589 32,6589 32,6589 32,6589 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-07 1 1 32,6173 32,6173 32,6173 32,6173 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-10 1 1 32,7259 32,7259 32,7259 32,7259 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-11 1 1 32,8402 32,8402 32,8402 32,8402 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-12 1 1 32,5367 32,5367 32,5367 32,5367 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-13 1 1 32,4424 32,4424 32,4424 32,4424 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-14 1 1 32,6169 32,6169 32,6169 32,6169 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-17 1 1 32,9079 32,9079 32,9079 32,9079 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-18 1 1 32,9395 32,9395 32,9395 32,9395 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-19 1 1 32,513 32,513 32,513 32,513 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-20 1 1 32,9069 32,9069 32,9069 32,9069 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-21 1 1 32,6331 32,6331 32,6331 32,6331 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-24 1 1 33,0496 33,0496 33,0496 33,0496 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-25 1 1 32,8348 32,8348 32,8348 32,8348 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-26 1 1 32,7161 32,7161 32,7161 32,7161 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-27 1 1 32,3635 32,3635 32,3635 32,3635 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-28 1 1 32,0848 32,0848 32,0848 32,0848 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-10-31 1 1 32,7866 32,7866 32,7866 32,7866 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-02 1 1 33,1929 33,1929 33,1929 33,1929 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-03 1 1 33,9334 33,9334 33,9334 33,9334 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-04 1 1 34,1082 34,1082 34,1082 34,1082 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-07 1 1 34,4263 34,4263 34,4263 34,4263 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-08 1 1 34,3207 34,3207 34,3207 34,3207 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-09 1 1 34,4904 34,4904 34,4904 34,4904 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-10 1 1 34,7143 34,7143 34,7143 34,7143 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-11 1 1 34,9565 34,9565 34,9565 34,9565 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-14 1 1 34,9933 34,9933 34,9933 34,9933 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-15 1 1 35,3207 35,3207 35,3207 35,3207 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-16 1 1 35,1506 35,1506 35,1506 35,1506 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-17 1 1 35,1174 35,1174 35,1174 35,1174 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-18 1 1 35,7927 35,7927 35,7927 35,7927 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-21 1 1 35,6729 35,6729 35,6729 35,6729 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-22 1 1 35,9196 35,9196 35,9196 35,9196 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-23 1 1 35,8193 35,8193 35,8193 35,8193 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-24 1 1 35,6502 35,6502 35,6502 35,6502 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-25 1 1 35,7309 35,7309 35,7309 35,7309 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-28 1 1 35,6993 35,6993 35,6993 35,6993 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-29 1 1 35,8984 35,8984 35,8984 35,8984 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-11-30 1 1 35,6204 35,6204 35,6204 35,6204 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-01 1 1 36,1129 36,1129 36,1129 36,1129 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-02 1 1 36,1293 36,1293 36,1293 36,1293 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-05 1 1 36,0529 36,0529 36,0529 36,0529 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-06 1 1 35,7966 35,7966 35,7966 35,7966 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-07 1 1 35,9003 35,9003 35,9003 35,9003 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-08 1 1 35,6579 35,6579 35,6579 35,6579 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-12 1 1 35,7797 35,7797 35,7797 35,7797 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-13 1 1 35,7638 35,7638 35,7638 35,7638 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-14 1 1 35,6997 35,6997 35,6997 35,6997 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-15 1 1 36,0066 36,0066 36,0066 36,0066 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-16 1 1 36,0301 36,0301 36,0301 36,0301 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-19 1 1 35,8913 35,8913 35,8913 35,8913 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-20 1 1 35,6976 35,6976 35,6976 35,6976 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-21 1 1 36,0424 36,0424 36,0424 36,0424 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-22 1 1 36,1181 36,1181 36,1181 36,1181 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-23 1 1 36,5695 36,5695 36,5695 36,5695 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-27 1 1 36,5402 36,5402 36,5402 36,5402 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-28 1 1 36,1204 36,1204 36,1204 36,1204 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-29 1 1 36,2873 36,2873 36,2873 36,2873 914358 HQ Fund Management Company S.A. HQ FUND - Gorilla SEK 2005-12-30 1 1 36,015 36,015 36,015 36,015 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-03 1 1 83,6952 83,6952 83,6952 83,6952 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-04 1 1 83,7869 83,7869 83,7869 83,7869 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-05 1 1 83,1777 83,1777 83,1777 83,1777 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-07 1 1 83,513 83,513 83,513 83,513 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-10 1 1 84,0402 84,0402 84,0402 84,0402 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-11 1 1 83,9928 83,9928 83,9928 83,9928 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-12 1 1 83,2222 83,2222 83,2222 83,2222 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-13 1 1 83,0416 83,0416 83,0416 83,0416 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-14 1 1 83,1907 83,1907 83,1907 83,1907 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-17 1 1 83,5566 83,5566 83,5566 83,5566 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-18 1 1 83,312 83,312 83,312 83,312 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-19 1 1 84,0613 84,0613 84,0613 84,0613 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-20 1 1 83,42 83,42 83,42 83,42 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-21 1 1 83,2253 83,2253 83,2253 83,2253 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-24 1 1 82,9411 82,9411 82,9411 82,9411 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-25 1 1 83,6887 83,6887 83,6887 83,6887 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-26 1 1 83,8945 83,8945 83,8945 83,8945 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-27 1 1 83,5645 83,5645 83,5645 83,5645 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-28 1 1 83,38 83,38 83,38 83,38 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-01-31 1 1 83,5922 83,5922 83,5922 83,5922 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-01 1 1 83,9391 83,9391 83,9391 83,9391 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-02 1 1 84,4133 84,4133 84,4133 84,4133 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-03 1 1 84,5472 84,5472 84,5472 84,5472 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-04 1 1 84,4331 84,4331 84,4331 84,4331 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-07 1 1 85,2937 85,2937 85,2937 85,2937 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-08 1 1 85,6245 85,6245 85,6245 85,6245 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-09 1 1 85,801 85,801 85,801 85,801 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-10 1 1 85,5805 85,5805 85,5805 85,5805 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-11 1 1 85,8107 85,8107 85,8107 85,8107 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-14 1 1 86,192 86,192 86,192 86,192 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-15 1 1 86,9891 86,9891 86,9891 86,9891 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-16 1 1 86,2586 86,2586 86,2586 86,2586 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-17 1 1 86,7632 86,7632 86,7632 86,7632 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-18 1 1 86,4591 86,4591 86,4591 86,4591 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-21 1 1 86,928 86,928 86,928 86,928 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-22 1 1 86,3085 86,3085 86,3085 86,3085 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-23 1 1 86,4113 86,4113 86,4113 86,4113 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-24 1 1 86,653 86,653 86,653 86,653 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-25 1 1 87,0259 87,0259 87,0259 87,0259 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-02-28 1 1 87,4696 87,4696 87,4696 87,4696 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-01 1 1 87,3855 87,3855 87,3855 87,3855 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-02 1 1 87,7024 87,7024 87,7024 87,7024 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-03 1 1 88,1821 88,1821 88,1821 88,1821 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-04 1 1 88,4638 88,4638 88,4638 88,4638 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-07 1 1 88,5034 88,5034 88,5034 88,5034 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-08 1 1 88,1808 88,1808 88,1808 88,1808 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-09 1 1 87,9053 87,9053 87,9053 87,9053 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-10 1 1 87,2456 87,2456 87,2456 87,2456 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-11 1 1 87,2858 87,2858 87,2858 87,2858 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-14 1 1 87,214 87,214 87,214 87,214 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-15 1 1 87,9913 87,9913 87,9913 87,9913 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-16 1 1 87,2746 87,2746 87,2746 87,2746 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-17 1 1 87,2927 87,2927 87,2927 87,2927 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-18 1 1 87,1604 87,1604 87,1604 87,1604 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-21 1 1 87,2286 87,2286 87,2286 87,2286 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-22 1 1 87,3561 87,3561 87,3561 87,3561 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-23 1 1 86,9608 86,9608 86,9608 86,9608 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-24 1 1 87,8852 87,8852 87,8852 87,8852 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-29 1 1 87,2968 87,2968 87,2968 87,2968 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-30 1 1 86,7717 86,7717 86,7717 86,7717 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-03-31 1 1 87,6398 87,6398 87,6398 87,6398 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-01 1 1 88,0174 88,0174 88,0174 88,0174 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-04 1 1 87,7954 87,7954 87,7954 87,7954 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-05 1 1 88,5956 88,5956 88,5956 88,5956 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-06 1 1 89,3397 89,3397 89,3397 89,3397 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-07 1 1 89,3557 89,3557 89,3557 89,3557 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-08 1 1 89,667 89,667 89,667 89,667 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-11 1 1 89,7125 89,7125 89,7125 89,7125 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-12 1 1 89,4876 89,4876 89,4876 89,4876 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-13 1 1 89,7804 89,7804 89,7804 89,7804 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-14 1 1 89,5698 89,5698 89,5698 89,5698 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-15 1 1 88,8752 88,8752 88,8752 88,8752 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-18 1 1 87,5085 87,5085 87,5085 87,5085 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-19 1 1 88,2999 88,2999 88,2999 88,2999 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-20 1 1 88,7907 88,7907 88,7907 88,7907 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-21 1 1 88,1222 88,1222 88,1222 88,1222 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-22 1 1 88,324 88,324 88,324 88,324 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-25 1 1 88,3248 88,3248 88,3248 88,3248 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-26 1 1 87,9587 87,9587 87,9587 87,9587 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-27 1 1 85,5652 85,5652 85,5652 85,5652 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-28 1 1 84,305 84,305 84,305 84,305 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-04-29 1 1 84,8361 84,8361 84,8361 84,8361 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-02 1 1 85,6444 85,6444 85,6444 85,6444 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-03 1 1 85,2894 85,2894 85,2894 85,2894 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-04 1 1 85,1977 85,1977 85,1977 85,1977 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-06 1 1 85,8497 85,8497 85,8497 85,8497 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-09 1 1 86,1119 86,1119 86,1119 86,1119 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-10 1 1 85,695 85,695 85,695 85,695 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-11 1 1 85,6038 85,6038 85,6038 85,6038 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-12 1 1 85,9211 85,9211 85,9211 85,9211 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-13 1 1 86,0552 86,0552 86,0552 86,0552 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-17 1 1 86,4542 86,4542 86,4542 86,4542 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-18 1 1 87,1801 87,1801 87,1801 87,1801 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-19 1 1 87,5886 87,5886 87,5886 87,5886 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-20 1 1 87,754 87,754 87,754 87,754 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-23 1 1 87,678 87,678 87,678 87,678 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-24 1 1 88,1313 88,1313 88,1313 88,1313 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-25 1 1 88,3554 88,3554 88,3554 88,3554 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-26 1 1 88,5888 88,5888 88,5888 88,5888 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-27 1 1 88,7776 88,7776 88,7776 88,7776 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-30 1 1 89,0074 89,0074 89,0074 89,0074 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-05-31 1 1 89,2206 89,2206 89,2206 89,2206 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-01 1 1 88,9754 88,9754 88,9754 88,9754 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-02 1 1 88,6798 88,6798 88,6798 88,6798 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-03 1 1 88,6671 88,6671 88,6671 88,6671 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-07 1 1 88,6819 88,6819 88,6819 88,6819 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-08 1 1 89,3226 89,3226 89,3226 89,3226 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-09 1 1 89,2119 89,2119 89,2119 89,2119 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-10 1 1 89,5484 89,5484 89,5484 89,5484 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-13 1 1 89,9053 89,9053 89,9053 89,9053 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-14 1 1 90,1485 90,1485 90,1485 90,1485 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-15 1 1 90,4013 90,4013 90,4013 90,4013 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-16 1 1 90,0936 90,0936 90,0936 90,0936 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-17 1 1 90,5692 90,5692 90,5692 90,5692 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-20 1 1 90,2992 90,2992 90,2992 90,2992 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-21 1 1 90,5882 90,5882 90,5882 90,5882 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-22 1 1 91,2236 91,2236 91,2236 91,2236 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-27 1 1 90,2907 90,2907 90,2907 90,2907 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-28 1 1 90,7929 90,7929 90,7929 90,7929 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-29 1 1 91,2257 91,2257 91,2257 91,2257 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-06-30 1 1 91,4797 91,4797 91,4797 91,4797 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-01 1 1 91,4417 91,4417 91,4417 91,4417 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-04 1 1 92,0492 92,0492 92,0492 92,0492 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-05 1 1 92,0744 92,0744 92,0744 92,0744 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-06 1 1 92,6371 92,6371 92,6371 92,6371 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-07 1 1 91,0659 91,0659 91,0659 91,0659 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-08 1 1 92,1151 92,1151 92,1151 92,1151 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-11 1 1 93,51 93,51 93,51 93,51 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-12 1 1 93,8398 93,8398 93,8398 93,8398 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-13 1 1 94,3574 94,3574 94,3574 94,3574 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-14 1 1 94,5388 94,5388 94,5388 94,5388 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-15 1 1 94,3841 94,3841 94,3841 94,3841 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-18 1 1 94,3827 94,3827 94,3827 94,3827 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-19 1 1 94,6642 94,6642 94,6642 94,6642 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-20 1 1 94,4042 94,4042 94,4042 94,4042 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-21 1 1 95,1292 95,1292 95,1292 95,1292 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-22 1 1 95,5142 95,5142 95,5142 95,5142 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-25 1 1 95,0316 95,0316 95,0316 95,0316 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-26 1 1 95,2964 95,2964 95,2964 95,2964 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-27 1 1 95,934 95,934 95,934 95,934 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-28 1 1 96,3808 96,3808 96,3808 96,3808 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-07-29 1 1 96,4319 96,4319 96,4319 96,4319 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-01 1 1 96,5927 96,5927 96,5927 96,5927 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-02 1 1 96,8379 96,8379 96,8379 96,8379 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-03 1 1 96,8732 96,8732 96,8732 96,8732 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-04 1 1 96,6585 96,6585 96,6585 96,6585 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-05 1 1 96,6194 96,6194 96,6194 96,6194 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-08 1 1 96,6922 96,6922 96,6922 96,6922 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-09 1 1 97,058 97,058 97,058 97,058 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-10 1 1 97,4208 97,4208 97,4208 97,4208 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-11 1 1 96,8518 96,8518 96,8518 96,8518 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-12 1 1 96,6155 96,6155 96,6155 96,6155 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-16 1 1 96,4629 96,4629 96,4629 96,4629 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-17 1 1 96,4701 96,4701 96,4701 96,4701 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-18 1 1 96,3582 96,3582 96,3582 96,3582 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-19 1 1 97,0814 97,0814 97,0814 97,0814 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-22 1 1 97,4117 97,4117 97,4117 97,4117 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-23 1 1 96,9732 96,9732 96,9732 96,9732 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-24 1 1 95,4349 95,4349 95,4349 95,4349 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-25 1 1 94,7946 94,7946 94,7946 94,7946 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-26 1 1 93,9469 93,9469 93,9469 93,9469 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-29 1 1 93,986 93,986 93,986 93,986 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-30 1 1 94,5275 94,5275 94,5275 94,5275 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-08-31 1 1 96,6818 96,6818 96,6818 96,6818 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-01 1 1 95,2311 95,2311 95,2311 95,2311 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-02 1 1 95,0636 95,0636 95,0636 95,0636 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-05 1 1 95,5595 95,5595 95,5595 95,5595 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-06 1 1 96,1712 96,1712 96,1712 96,1712 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-07 1 1 96,4497 96,4497 96,4497 96,4497 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-08 1 1 96,112 96,112 96,112 96,112 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-09 1 1 96,6549 96,6549 96,6549 96,6549 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-12 1 1 96,8466 96,8466 96,8466 96,8466 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-13 1 1 96,7447 96,7447 96,7447 96,7447 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-14 1 1 96,9767 96,9767 96,9767 96,9767 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-15 1 1 96,528 96,528 96,528 96,528 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-16 1 1 96,7037 96,7037 96,7037 96,7037 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-19 1 1 96,891 96,891 96,891 96,891 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-20 1 1 96,5528 96,5528 96,5528 96,5528 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-21 1 1 96,0362 96,0362 96,0362 96,0362 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-22 1 1 96,0266 96,0266 96,0266 96,0266 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-23 1 1 96,3828 96,3828 96,3828 96,3828 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-26 1 1 97,3205 97,3205 97,3205 97,3205 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-27 1 1 97,7092 97,7092 97,7092 97,7092 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-28 1 1 98,2606 98,2606 98,2606 98,2606 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-29 1 1 98,4734 98,4734 98,4734 98,4734 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-09-30 1 1 99,4697 99,4697 99,4697 99,4697 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-03 1 1 99,658 99,658 99,658 99,658 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-04 1 1 99,5801 99,5801 99,5801 99,5801 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-05 1 1 98,8156 98,8156 98,8156 98,8156 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-06 1 1 97,9842 97,9842 97,9842 97,9842 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-07 1 1 98,0408 98,0408 98,0408 98,0408 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-10 1 1 98,4574 98,4574 98,4574 98,4574 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-11 1 1 98,599 98,599 98,599 98,599 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-12 1 1 98,2297 98,2297 98,2297 98,2297 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-13 1 1 96,9035 96,9035 96,9035 96,9035 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-14 1 1 97,0836 97,0836 97,0836 97,0836 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-17 1 1 96,8886 96,8886 96,8886 96,8886 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-18 1 1 96,6036 96,6036 96,6036 96,6036 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-19 1 1 95,3999 95,3999 95,3999 95,3999 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-20 1 1 95,8118 95,8118 95,8118 95,8118 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-21 1 1 94,962 94,962 94,962 94,962 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-24 1 1 95,6155 95,6155 95,6155 95,6155 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-25 1 1 96,0921 96,0921 96,0921 96,0921 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-26 1 1 96,9681 96,9681 96,9681 96,9681 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-27 1 1 96,5281 96,5281 96,5281 96,5281 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-28 1 1 96,0895 96,0895 96,0895 96,0895 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-10-31 1 1 97,8591 97,8591 97,8591 97,8591 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-02 1 1 98,4454 98,4454 98,4454 98,4454 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-03 1 1 99,3316 99,3316 99,3316 99,3316 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-04 1 1 99,1437 99,1437 99,1437 99,1437 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-07 1 1 99,6467 99,6467 99,6467 99,6467 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-08 1 1 99,7749 99,7749 99,7749 99,7749 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-09 1 1 99,7433 99,7433 99,7433 99,7433 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-10 1 1 99,8163 99,8163 99,8163 99,8163 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-11 1 1 100,5512 100,5512 100,5512 100,5512 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-14 1 1 100,9512 100,9512 100,9512 100,9512 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-15 1 1 100,8318 100,8318 100,8318 100,8318 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-16 1 1 100,8148 100,8148 100,8148 100,8148 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-17 1 1 100,9867 100,9867 100,9867 100,9867 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-18 1 1 101,1747 101,1747 101,1747 101,1747 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-21 1 1 101,2892 101,2892 101,2892 101,2892 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-22 1 1 101,6538 101,6538 101,6538 101,6538 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-23 1 1 101,7137 101,7137 101,7137 101,7137 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-24 1 1 101,4582 101,4582 101,4582 101,4582 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-25 1 1 101,8838 101,8838 101,8838 101,8838 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-28 1 1 102,1612 102,1612 102,1612 102,1612 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-29 1 1 102,1387 102,1387 102,1387 102,1387 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-11-30 1 1 101,3739 101,3739 101,3739 101,3739 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-01 1 1 102,2808 102,2808 102,2808 102,2808 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-02 1 1 102,9228 102,9228 102,9228 102,9228 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-05 1 1 102,7696 102,7696 102,7696 102,7696 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-06 1 1 103,0712 103,0712 103,0712 103,0712 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-07 1 1 103,3005 103,3005 103,3005 103,3005 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-08 1 1 103,491 103,491 103,491 103,491 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-12 1 1 104,0417 104,0417 104,0417 104,0417 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-13 1 1 103,8385 103,8385 103,8385 103,8385 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-14 1 1 103,6157 103,6157 103,6157 103,6157 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-15 1 1 103,5804 103,5804 103,5804 103,5804 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-16 1 1 104,0352 104,0352 104,0352 104,0352 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-19 1 1 104,5991 104,5991 104,5991 104,5991 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-20 1 1 104,4877 104,4877 104,4877 104,4877 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-21 1 1 104,9873 104,9873 104,9873 104,9873 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-22 1 1 105,7278 105,7278 105,7278 105,7278 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-23 1 1 106,7636 106,7636 106,7636 106,7636 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-27 1 1 107,3283 107,3283 107,3283 107,3283 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-28 1 1 107,1574 107,1574 107,1574 107,1574 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-29 1 1 107,6298 107,6298 107,6298 107,6298 386581 HQ Fund Management Company S.A. HQ FUND - Swedish Equity Fund SEK 2005-12-30 1 1 107,4019 107,4019 107,4019 107,4019 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-03 1 1 73,1299 73,1299 73,1299 73,1299 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-04 1 1 73,2665 73,2665 73,2665 73,2665 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-05 1 1 72,9058 72,9058 72,9058 72,9058 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-07 1 1 73,2981 73,2981 73,2981 73,2981 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-10 1 1 73,4109 73,4109 73,4109 73,4109 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-11 1 1 73,2031 73,2031 73,2031 73,2031 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-12 1 1 72,8916 72,8916 72,8916 72,8916 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-13 1 1 72,6844 72,6844 72,6844 72,6844 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-14 1 1 73,0352 73,0352 73,0352 73,0352 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-17 1 1 73,1222 73,1222 73,1222 73,1222 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-18 1 1 73,0826 73,0826 73,0826 73,0826 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-19 1 1 73,584 73,584 73,584 73,584 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-20 1 1 72,993 72,993 72,993 72,993 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-21 1 1 72,8659 72,8659 72,8659 72,8659 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-24 1 1 72,699 72,699 72,699 72,699 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-25 1 1 73,1633 73,1633 73,1633 73,1633 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-26 1 1 73,4455 73,4455 73,4455 73,4455 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-27 1 1 73,2509 73,2509 73,2509 73,2509 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-28 1 1 73,2809 73,2809 73,2809 73,2809 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-01-31 1 1 73,2107 73,2107 73,2107 73,2107 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-01 1 1 73,3891 73,3891 73,3891 73,3891 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-02 1 1 73,4932 73,4932 73,4932 73,4932 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-03 1 1 73,6016 73,6016 73,6016 73,6016 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-04 1 1 73,737 73,737 73,737 73,737 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-07 1 1 74,4448 74,4448 74,4448 74,4448 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-08 1 1 74,4664 74,4664 74,4664 74,4664 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-09 1 1 74,3151 74,3151 74,3151 74,3151 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-10 1 1 74,1911 74,1911 74,1911 74,1911 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-11 1 1 74,1574 74,1574 74,1574 74,1574 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-14 1 1 74,3575 74,3575 74,3575 74,3575 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-15 1 1 74,9183 74,9183 74,9183 74,9183 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-16 1 1 74,6924 74,6924 74,6924 74,6924 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-17 1 1 75,0137 75,0137 75,0137 75,0137 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-18 1 1 75,0482 75,0482 75,0482 75,0482 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-21 1 1 75,0055 75,0055 75,0055 75,0055 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-22 1 1 74,7041 74,7041 74,7041 74,7041 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-23 1 1 74,5532 74,5532 74,5532 74,5532 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-24 1 1 74,2979 74,2979 74,2979 74,2979 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-25 1 1 74,8325 74,8325 74,8325 74,8325 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-02-28 1 1 75,2475 75,2475 75,2475 75,2475 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-01 1 1 75,2398 75,2398 75,2398 75,2398 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-02 1 1 75,5229 75,5229 75,5229 75,5229 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-03 1 1 75,6123 75,6123 75,6123 75,6123 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-04 1 1 75,5588 75,5588 75,5588 75,5588 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-07 1 1 75,5645 75,5645 75,5645 75,5645 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-08 1 1 75,3626 75,3626 75,3626 75,3626 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-09 1 1 74,9701 74,9701 74,9701 74,9701 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-10 1 1 74,464 74,464 74,464 74,464 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-11 1 1 74,51 74,51 74,51 74,51 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-14 1 1 74,3617 74,3617 74,3617 74,3617 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-15 1 1 74,8568 74,8568 74,8568 74,8568 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-16 1 1 74,2957 74,2957 74,2957 74,2957 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-17 1 1 74,4133 74,4133 74,4133 74,4133 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-18 1 1 74,4184 74,4184 74,4184 74,4184 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-21 1 1 74,7332 74,7332 74,7332 74,7332 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-22 1 1 74,915 74,915 74,915 74,915 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-23 1 1 74,7208 74,7208 74,7208 74,7208 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-24 1 1 75,2523 75,2523 75,2523 75,2523 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-29 1 1 75,1078 75,1078 75,1078 75,1078 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-30 1 1 74,7036 74,7036 74,7036 74,7036 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-03-31 1 1 75,1533 75,1533 75,1533 75,1533 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-01 1 1 75,5752 75,5752 75,5752 75,5752 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-04 1 1 75,3972 75,3972 75,3972 75,3972 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-05 1 1 75,7151 75,7151 75,7151 75,7151 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-06 1 1 75,8681 75,8681 75,8681 75,8681 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-07 1 1 75,8347 75,8347 75,8347 75,8347 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-08 1 1 76,0294 76,0294 76,0294 76,0294 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-11 1 1 75,869 75,869 75,869 75,869 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-12 1 1 75,8829 75,8829 75,8829 75,8829 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-13 1 1 75,9113 75,9113 75,9113 75,9113 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-14 1 1 75,7068 75,7068 75,7068 75,7068 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-15 1 1 74,6367 74,6367 74,6367 74,6367 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-18 1 1 73,843 73,843 73,843 73,843 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-19 1 1 74,7003 74,7003 74,7003 74,7003 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-20 1 1 74,7455 74,7455 74,7455 74,7455 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-21 1 1 74,4623 74,4623 74,4623 74,4623 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-22 1 1 74,5987 74,5987 74,5987 74,5987 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-25 1 1 74,6333 74,6333 74,6333 74,6333 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-26 1 1 74,5937 74,5937 74,5937 74,5937 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-27 1 1 73,2458 73,2458 73,2458 73,2458 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-28 1 1 72,9195 72,9195 72,9195 72,9195 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-04-29 1 1 72,9268 72,9268 72,9268 72,9268 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-02 1 1 73,4141 73,4141 73,4141 73,4141 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-03 1 1 73,3558 73,3558 73,3558 73,3558 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-04 1 1 73,0184 73,0184 73,0184 73,0184 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-06 1 1 73,3767 73,3767 73,3767 73,3767 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-09 1 1 73,7147 73,7147 73,7147 73,7147 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-10 1 1 73,5843 73,5843 73,5843 73,5843 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-11 1 1 73,5562 73,5562 73,5562 73,5562 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-12 1 1 73,5103 73,5103 73,5103 73,5103 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-13 1 1 73,0948 73,0948 73,0948 73,0948 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-17 1 1 73,0539 73,0539 73,0539 73,0539 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-18 1 1 73,5083 73,5083 73,5083 73,5083 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-19 1 1 73,9131 73,9131 73,9131 73,9131 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-20 1 1 74,3469 74,3469 74,3469 74,3469 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-23 1 1 75,2881 75,2881 75,2881 75,2881 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-24 1 1 75,6492 75,6492 75,6492 75,6492 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-25 1 1 75,7622 75,7622 75,7622 75,7622 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-26 1 1 76,3496 76,3496 76,3496 76,3496 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-27 1 1 76,5561 76,5561 76,5561 76,5561 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-30 1 1 76,8277 76,8277 76,8277 76,8277 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-05-31 1 1 77,035 77,035 77,035 77,035 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-01 1 1 77,0579 77,0579 77,0579 77,0579 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-02 1 1 77,2626 77,2626 77,2626 77,2626 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-03 1 1 77,3223 77,3223 77,3223 77,3223 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-07 1 1 77,9141 77,9141 77,9141 77,9141 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-08 1 1 78,2013 78,2013 78,2013 78,2013 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-09 1 1 78,0343 78,0343 78,0343 78,0343 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-10 1 1 78,4276 78,4276 78,4276 78,4276 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-13 1 1 78,9968 78,9968 78,9968 78,9968 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-14 1 1 79,2939 79,2939 79,2939 79,2939 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-15 1 1 79,5848 79,5848 79,5848 79,5848 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-16 1 1 79,278 79,278 79,278 79,278 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-17 1 1 79,4336 79,4336 79,4336 79,4336 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-20 1 1 79,2078 79,2078 79,2078 79,2078 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-21 1 1 79,3583 79,3583 79,3583 79,3583 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-22 1 1 79,8253 79,8253 79,8253 79,8253 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-27 1 1 79,3164 79,3164 79,3164 79,3164 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-28 1 1 79,873 79,873 79,873 79,873 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-29 1 1 80,2417 80,2417 80,2417 80,2417 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-06-30 1 1 80,3936 80,3936 80,3936 80,3936 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-01 1 1 80,3754 80,3754 80,3754 80,3754 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-04 1 1 80,7415 80,7415 80,7415 80,7415 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-05 1 1 80,5407 80,5407 80,5407 80,5407 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-06 1 1 81,2711 81,2711 81,2711 81,2711 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-07 1 1 80,4247 80,4247 80,4247 80,4247 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-08 1 1 81,3025 81,3025 81,3025 81,3025 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-11 1 1 82,4493 82,4493 82,4493 82,4493 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-12 1 1 82,2431 82,2431 82,2431 82,2431 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-13 1 1 82,6792 82,6792 82,6792 82,6792 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-14 1 1 82,819 82,819 82,819 82,819 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-15 1 1 82,6449 82,6449 82,6449 82,6449 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-18 1 1 82,5538 82,5538 82,5538 82,5538 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-19 1 1 83,0183 83,0183 83,0183 83,0183 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-20 1 1 82,9538 82,9538 82,9538 82,9538 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-21 1 1 83,3144 83,3144 83,3144 83,3144 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-22 1 1 83,4491 83,4491 83,4491 83,4491 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-25 1 1 83,4115 83,4115 83,4115 83,4115 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-26 1 1 83,6976 83,6976 83,6976 83,6976 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-27 1 1 83,9138 83,9138 83,9138 83,9138 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-28 1 1 83,9455 83,9455 83,9455 83,9455 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-07-29 1 1 83,9616 83,9616 83,9616 83,9616 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-01 1 1 83,8128 83,8128 83,8128 83,8128 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-02 1 1 83,8708 83,8708 83,8708 83,8708 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-03 1 1 83,5408 83,5408 83,5408 83,5408 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-04 1 1 83,3527 83,3527 83,3527 83,3527 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-05 1 1 83,3704 83,3704 83,3704 83,3704 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-08 1 1 83,4123 83,4123 83,4123 83,4123 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-09 1 1 83,479 83,479 83,479 83,479 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-10 1 1 83,1988 83,1988 83,1988 83,1988 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-11 1 1 82,4753 82,4753 82,4753 82,4753 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-12 1 1 82,2796 82,2796 82,2796 82,2796 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-16 1 1 82,4618 82,4618 82,4618 82,4618 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-17 1 1 82,2304 82,2304 82,2304 82,2304 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-18 1 1 82,2146 82,2146 82,2146 82,2146 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-19 1 1 82,9298 82,9298 82,9298 82,9298 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-22 1 1 82,9993 82,9993 82,9993 82,9993 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-23 1 1 82,5835 82,5835 82,5835 82,5835 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-24 1 1 81,5932 81,5932 81,5932 81,5932 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-25 1 1 81,3007 81,3007 81,3007 81,3007 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-26 1 1 80,8734 80,8734 80,8734 80,8734 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-29 1 1 80,6878 80,6878 80,6878 80,6878 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-30 1 1 81,3007 81,3007 81,3007 81,3007 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-08-31 1 1 81,3976 81,3976 81,3976 81,3976 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-01 1 1 81,59 81,59 81,59 81,59 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-02 1 1 81,3724 81,3724 81,3724 81,3724 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-05 1 1 81,4554 81,4554 81,4554 81,4554 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-06 1 1 81,6935 81,6935 81,6935 81,6935 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-07 1 1 81,7076 81,7076 81,7076 81,7076 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-08 1 1 81,5996 81,5996 81,5996 81,5996 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-09 1 1 81,879 81,879 81,879 81,879 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-12 1 1 81,9251 81,9251 81,9251 81,9251 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-13 1 1 81,8473 81,8473 81,8473 81,8473 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-14 1 1 82,0588 82,0588 82,0588 82,0588 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-15 1 1 82,3442 82,3442 82,3442 82,3442 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-16 1 1 82,5523 82,5523 82,5523 82,5523 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-19 1 1 82,7926 82,7926 82,7926 82,7926 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-20 1 1 82,8067 82,8067 82,8067 82,8067 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-21 1 1 82,0622 82,0622 82,0622 82,0622 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-22 1 1 82,1017 82,1017 82,1017 82,1017 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-23 1 1 82,4311 82,4311 82,4311 82,4311 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-26 1 1 83,0572 83,0572 83,0572 83,0572 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-27 1 1 83,3202 83,3202 83,3202 83,3202 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-28 1 1 83,9704 83,9704 83,9704 83,9704 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-29 1 1 83,9944 83,9944 83,9944 83,9944 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-09-30 1 1 84,3681 84,3681 84,3681 84,3681 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-03 1 1 84,7158 84,7158 84,7158 84,7158 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-04 1 1 84,8101 84,8101 84,8101 84,8101 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-05 1 1 83,9431 83,9431 83,9431 83,9431 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-06 1 1 82,6123 82,6123 82,6123 82,6123 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-07 1 1 82,7678 82,7678 82,7678 82,7678 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-10 1 1 83,4434 83,4434 83,4434 83,4434 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-11 1 1 83,4273 83,4273 83,4273 83,4273 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-12 1 1 82,8891 82,8891 82,8891 82,8891 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-13 1 1 81,8072 81,8072 81,8072 81,8072 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-14 1 1 82,0019 82,0019 82,0019 82,0019 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-17 1 1 81,9354 81,9354 81,9354 81,9354 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-18 1 1 81,8392 81,8392 81,8392 81,8392 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-19 1 1 80,4998 80,4998 80,4998 80,4998 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-20 1 1 81,0973 81,0973 81,0973 81,0973 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-21 1 1 80,289 80,289 80,289 80,289 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-24 1 1 81,3387 81,3387 81,3387 81,3387 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-25 1 1 81,4179 81,4179 81,4179 81,4179 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-26 1 1 81,6586 81,6586 81,6586 81,6586 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-27 1 1 81,0638 81,0638 81,0638 81,0638 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-28 1 1 80,9267 80,9267 80,9267 80,9267 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-10-31 1 1 81,9054 81,9054 81,9054 81,9054 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-02 1 1 82,5128 82,5128 82,5128 82,5128 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-03 1 1 83,4949 83,4949 83,4949 83,4949 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-04 1 1 83,5098 83,5098 83,5098 83,5098 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-07 1 1 83,807 83,807 83,807 83,807 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-08 1 1 83,8542 83,8542 83,8542 83,8542 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-09 1 1 83,9205 83,9205 83,9205 83,9205 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-10 1 1 84,2901 84,2901 84,2901 84,2901 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-11 1 1 84,4828 84,4828 84,4828 84,4828 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-14 1 1 85,1205 85,1205 85,1205 85,1205 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-15 1 1 85,213 85,213 85,213 85,213 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-16 1 1 84,8466 84,8466 84,8466 84,8466 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-17 1 1 85,7008 85,7008 85,7008 85,7008 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-18 1 1 85,6987 85,6987 85,6987 85,6987 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-21 1 1 85,7226 85,7226 85,7226 85,7226 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-22 1 1 85,9262 85,9262 85,9262 85,9262 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-23 1 1 85,7167 85,7167 85,7167 85,7167 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-24 1 1 85,616 85,616 85,616 85,616 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-25 1 1 85,9343 85,9343 85,9343 85,9343 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-28 1 1 86,1166 86,1166 86,1166 86,1166 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-29 1 1 86,4017 86,4017 86,4017 86,4017 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-11-30 1 1 86,3796 86,3796 86,3796 86,3796 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-01 1 1 87,4222 87,4222 87,4222 87,4222 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-02 1 1 87,3881 87,3881 87,3881 87,3881 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-05 1 1 87,1369 87,1369 87,1369 87,1369 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-06 1 1 87,1059 87,1059 87,1059 87,1059 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-07 1 1 87,6566 87,6566 87,6566 87,6566 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-08 1 1 87,6588 87,6588 87,6588 87,6588 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-12 1 1 87,9078 87,9078 87,9078 87,9078 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-13 1 1 87,6316 87,6316 87,6316 87,6316 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-14 1 1 87,4684 87,4684 87,4684 87,4684 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-15 1 1 87,6832 87,6832 87,6832 87,6832 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-16 1 1 87,8726 87,8726 87,8726 87,8726 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-19 1 1 87,7316 87,7316 87,7316 87,7316 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-20 1 1 87,9048 87,9048 87,9048 87,9048 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-21 1 1 88,472 88,472 88,472 88,472 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-22 1 1 88,9461 88,9461 88,9461 88,9461 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-23 1 1 89,4555 89,4555 89,4555 89,4555 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-27 1 1 89,6925 89,6925 89,6925 89,6925 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-28 1 1 89,4038 89,4038 89,4038 89,4038 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-29 1 1 89,6486 89,6486 89,6486 89,6486 159509 HQ Fund Management Company S.A. HQ FUND - Total SEK 2005-12-30 1 1 89,5277 89,5277 89,5277 89,5277 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-03 1 1 1106,8904 1106,8904 1106,8904 1106,8904 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-04 1 1 1106,9231 1106,9231 1106,9231 1106,9231 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-05 1 1 1106,9465 1106,9465 1106,9465 1106,9465 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-07 1 1 1107,0833 1107,0833 1107,0833 1107,0833 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-10 1 1 1107,1998 1107,1998 1107,1998 1107,1998 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-11 1 1 1107,2646 1107,2646 1107,2646 1107,2646 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-12 1 1 1107,3048 1107,3048 1107,3048 1107,3048 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-13 1 1 1107,3231 1107,3231 1107,3231 1107,3231 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-14 1 1 1107,4363 1107,4363 1107,4363 1107,4363 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-17 1 1 1107,5491 1107,5491 1107,5491 1107,5491 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-18 1 1 1107,5866 1107,5866 1107,5866 1107,5866 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-19 1 1 1107,6708 1107,6708 1107,6708 1107,6708 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-20 1 1 1107,7007 1107,7007 1107,7007 1107,7007 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-21 1 1 1107,8225 1107,8225 1107,8225 1107,8225 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-24 1 1 1107,9467 1107,9467 1107,9467 1107,9467 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-25 1 1 1108,0161 1108,0161 1108,0161 1108,0161 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-26 1 1 1108,0653 1108,0653 1108,0653 1108,0653 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-27 1 1 1108,0879 1108,0879 1108,0879 1108,0879 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-28 1 1 1108,1829 1108,1829 1108,1829 1108,1829 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-01-31 1 1 1108,3168 1108,3168 1108,3168 1108,3168 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-01 1 1 1108,3964 1108,3964 1108,3964 1108,3964 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-02 1 1 1108,4138 1108,4138 1108,4138 1108,4138 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-03 1 1 1108,4467 1108,4467 1108,4467 1108,4467 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-04 1 1 1108,5078 1108,5078 1108,5078 1108,5078 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-07 1 1 1108,6074 1108,6074 1108,6074 1108,6074 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-08 1 1 1108,6111 1108,6111 1108,6111 1108,6111 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-09 1 1 1108,6815 1108,6815 1108,6815 1108,6815 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-10 1 1 1108,7393 1108,7393 1108,7393 1108,7393 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-11 1 1 1108,7954 1108,7954 1108,7954 1108,7954 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-14 1 1 1108,9186 1108,9186 1108,9186 1108,9186 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-15 1 1 1108,9594 1108,9594 1108,9594 1108,9594 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-16 1 1 1109,0341 1109,0341 1109,0341 1109,0341 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-17 1 1 1109,0962 1109,0962 1109,0962 1109,0962 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-18 1 1 1109,0993 1109,0993 1109,0993 1109,0993 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-21 1 1 1109,2334 1109,2334 1109,2334 1109,2334 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-22 1 1 1109,25 1109,25 1109,25 1109,25 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-23 1 1 1081,2818 1081,2818 1081,2818 1081,2818 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-24 1 1 1081,3056 1081,3056 1081,3056 1081,3056 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-25 1 1 1081,3695 1081,3695 1081,3695 1081,3695 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-02-28 1 1 1081,5254 1081,5254 1081,5254 1081,5254 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-01 1 1 1081,5786 1081,5786 1081,5786 1081,5786 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-02 1 1 1081,605 1081,605 1081,605 1081,605 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-03 1 1 1081,6432 1081,6432 1081,6432 1081,6432 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-04 1 1 1081,7026 1081,7026 1081,7026 1081,7026 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-07 1 1 1081,8175 1081,8175 1081,8175 1081,8175 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-08 1 1 1081,9132 1081,9132 1081,9132 1081,9132 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-09 1 1 1082,0086 1082,0086 1082,0086 1082,0086 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-10 1 1 1082,045 1082,045 1082,045 1082,045 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-11 1 1 1082,0122 1082,0122 1082,0122 1082,0122 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-14 1 1 1082,0838 1082,0838 1082,0838 1082,0838 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-15 1 1 1082,1284 1082,1284 1082,1284 1082,1284 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-16 1 1 1082,1439 1082,1439 1082,1439 1082,1439 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-17 1 1 1082,1895 1082,1895 1082,1895 1082,1895 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-18 1 1 1082,2002 1082,2002 1082,2002 1082,2002 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-21 1 1 1082,3027 1082,3027 1082,3027 1082,3027 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-22 1 1 1082,3332 1082,3332 1082,3332 1082,3332 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-23 1 1 1082,324 1082,324 1082,324 1082,324 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-24 1 1 1082,3743 1082,3743 1082,3743 1082,3743 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-29 1 1 1082,5609 1082,5609 1082,5609 1082,5609 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-30 1 1 1082,6237 1082,6237 1082,6237 1082,6237 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-03-31 1 1 1082,7181 1082,7181 1082,7181 1082,7181 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-01 1 1 1082,7653 1082,7653 1082,7653 1082,7653 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-04 1 1 1082,8686 1082,8686 1082,8686 1082,8686 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-05 1 1 1082,9226 1082,9226 1082,9226 1082,9226 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-06 1 1 1082,9535 1082,9535 1082,9535 1082,9535 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-07 1 1 1083,0026 1083,0026 1083,0026 1083,0026 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-08 1 1 1083,037 1083,037 1083,037 1083,037 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-11 1 1 1083,1747 1083,1747 1083,1747 1083,1747 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-12 1 1 1083,2 1083,2 1083,2 1083,2 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-13 1 1 1083,2561 1083,2561 1083,2561 1083,2561 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-14 1 1 1083,3324 1083,3324 1083,3324 1083,3324 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-15 1 1 1083,3994 1083,3994 1083,3994 1083,3994 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-18 1 1 1083,4724 1083,4724 1083,4724 1083,4724 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-19 1 1 1083,5146 1083,5146 1083,5146 1083,5146 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-20 1 1 1083,5452 1083,5452 1083,5452 1083,5452 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-21 1 1 1083,5904 1083,5904 1083,5904 1083,5904 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-22 1 1 1083,6217 1083,6217 1083,6217 1083,6217 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-25 1 1 1083,7429 1083,7429 1083,7429 1083,7429 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-26 1 1 1083,8182 1083,8182 1083,8182 1083,8182 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-27 1 1 1083,9304 1083,9304 1083,9304 1083,9304 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-28 1 1 1084,0224 1084,0224 1084,0224 1084,0224 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-04-29 1 1 1084,1652 1084,1652 1084,1652 1084,1652 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-02 1 1 1084,3408 1084,3408 1084,3408 1084,3408 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-03 1 1 1084,4929 1084,4929 1084,4929 1084,4929 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-04 1 1 1084,525 1084,525 1084,525 1084,525 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-06 1 1 1084,5888 1084,5888 1084,5888 1084,5888 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-09 1 1 1084,6876 1084,6876 1084,6876 1084,6876 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-10 1 1 1084,8617 1084,8617 1084,8617 1084,8617 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-11 1 1 1084,8837 1084,8837 1084,8837 1084,8837 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-12 1 1 1084,9032 1084,9032 1084,9032 1084,9032 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-13 1 1 1084,9946 1084,9946 1084,9946 1084,9946 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-16 1 1 1085,0852 1085,0852 1085,0852 1085,0852 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-17 1 1 1085,1698 1085,1698 1085,1698 1085,1698 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-18 1 1 1085,3702 1085,3702 1085,3702 1085,3702 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-19 1 1 1085,4214 1085,4214 1085,4214 1085,4214 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-20 1 1 1085,3158 1085,3158 1085,3158 1085,3158 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-23 1 1 1085,4446 1085,4446 1085,4446 1085,4446 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-24 1 1 1085,5378 1085,5378 1085,5378 1085,5378 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-25 1 1 1085,5582 1085,5582 1085,5582 1085,5582 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-26 1 1 1085,5487 1085,5487 1085,5487 1085,5487 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-27 1 1 1085,6083 1085,6083 1085,6083 1085,6083 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-30 1 1 1085,6697 1085,6697 1085,6697 1085,6697 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-05-31 1 1 1085,8755 1085,8755 1085,8755 1085,8755 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-01 1 1 1086,0587 1086,0587 1086,0587 1086,0587 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-02 1 1 1086,0767 1086,0767 1086,0767 1086,0767 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-03 1 1 1086,1846 1086,1846 1086,1846 1086,1846 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-07 1 1 1086,3517 1086,3517 1086,3517 1086,3517 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-08 1 1 1086,8076 1086,8076 1086,8076 1086,8076 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-09 1 1 1086,9349 1086,9349 1086,9349 1086,9349 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-10 1 1 1086,959 1086,959 1086,959 1086,959 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-13 1 1 1086,9322 1086,9322 1086,9322 1086,9322 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-14 1 1 1086,9452 1086,9452 1086,9452 1086,9452 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-15 1 1 1087,1478 1087,1478 1087,1478 1087,1478 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-16 1 1 1087,2941 1087,2941 1087,2941 1087,2941 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-17 1 1 1087,3644 1087,3644 1087,3644 1087,3644 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-20 1 1 1087,4854 1087,4854 1087,4854 1087,4854 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-21 1 1 1088,1671 1088,1671 1088,1671 1088,1671 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-22 1 1 1088,273 1088,273 1088,273 1088,273 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-23 1 1 1088,2666 1088,2666 1088,2666 1088,2666 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-27 1 1 1088,3587 1088,3587 1088,3587 1088,3587 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-28 1 1 1088,3472 1088,3472 1088,3472 1088,3472 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-29 1 1 1088,3858 1088,3858 1088,3858 1088,3858 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-06-30 1 1 1088,435 1088,435 1088,435 1088,435 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-01 1 1 1088,4484 1088,4484 1088,4484 1088,4484 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-04 1 1 1088,49 1088,49 1088,49 1088,49 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-05 1 1 1088,4785 1088,4785 1088,4785 1088,4785 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-06 1 1 1088,55 1088,55 1088,55 1088,55 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-07 1 1 1088,6267 1088,6267 1088,6267 1088,6267 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-08 1 1 1088,6717 1088,6717 1088,6717 1088,6717 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-11 1 1 1088,694 1088,694 1088,694 1088,694 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-12 1 1 1088,7065 1088,7065 1088,7065 1088,7065 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-13 1 1 1088,7383 1088,7383 1088,7383 1088,7383 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-14 1 1 1088,7579 1088,7579 1088,7579 1088,7579 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-15 1 1 1088,7728 1088,7728 1088,7728 1088,7728 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-18 1 1 1088,9072 1088,9072 1088,9072 1088,9072 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-19 1 1 1088,9586 1088,9586 1088,9586 1088,9586 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-20 1 1 1088,9259 1088,9259 1088,9259 1088,9259 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-21 1 1 1089,0058 1089,0058 1089,0058 1089,0058 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-22 1 1 1089,0685 1089,0685 1089,0685 1089,0685 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-25 1 1 1089,1214 1089,1214 1089,1214 1089,1214 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-26 1 1 1089,1386 1089,1386 1089,1386 1089,1386 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-27 1 1 1089,1721 1089,1721 1089,1721 1089,1721 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-28 1 1 1089,1438 1089,1438 1089,1438 1089,1438 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-07-29 1 1 1089,1121 1089,1121 1089,1121 1089,1121 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-01 1 1 1089,0869 1089,0869 1089,0869 1089,0869 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-02 1 1 1089,0719 1089,0719 1089,0719 1089,0719 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-03 1 1 1089,0346 1089,0346 1089,0346 1089,0346 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-04 1 1 1089,0795 1089,0795 1089,0795 1089,0795 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-05 1 1 1089,0909 1089,0909 1089,0909 1089,0909 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-08 1 1 1089,1407 1089,1407 1089,1407 1089,1407 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-09 1 1 1089,1882 1089,1882 1089,1882 1089,1882 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-10 1 1 1089,2341 1089,2341 1089,2341 1089,2341 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-11 1 1 1089,2527 1089,2527 1089,2527 1089,2527 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-12 1 1 1089,2925 1089,2925 1089,2925 1089,2925 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-15 1 1 1089,3816 1089,3816 1089,3816 1089,3816 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-16 1 1 1089,3925 1089,3925 1089,3925 1089,3925 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-17 1 1 1089,4035 1089,4035 1089,4035 1089,4035 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-18 1 1 1089,4186 1089,4186 1089,4186 1089,4186 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-19 1 1 1089,4737 1089,4737 1089,4737 1089,4737 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-22 1 1 1089,4594 1089,4594 1089,4594 1089,4594 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-23 1 1 1089,5188 1089,5188 1089,5188 1089,5188 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-24 1 1 1089,5141 1089,5141 1089,5141 1089,5141 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-25 1 1 1089,5493 1089,5493 1089,5493 1089,5493 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-26 1 1 1089,5142 1089,5142 1089,5142 1089,5142 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-29 1 1 1089,5467 1089,5467 1089,5467 1089,5467 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-30 1 1 1089,5652 1089,5652 1089,5652 1089,5652 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-08-31 1 1 1089,6998 1089,6998 1089,6998 1089,6998 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-01 1 1 1089,7785 1089,7785 1089,7785 1089,7785 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-02 1 1 1089,8747 1089,8747 1089,8747 1089,8747 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-05 1 1 1089,9371 1089,9371 1089,9371 1089,9371 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-06 1 1 1089,9613 1089,9613 1089,9613 1089,9613 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-07 1 1 1089,9774 1089,9774 1089,9774 1089,9774 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-08 1 1 1090,0349 1090,0349 1090,0349 1090,0349 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-09 1 1 1090,0632 1090,0632 1090,0632 1090,0632 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-12 1 1 1090,0733 1090,0733 1090,0733 1090,0733 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-13 1 1 1090,0994 1090,0994 1090,0994 1090,0994 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-14 1 1 1090,1116 1090,1116 1090,1116 1090,1116 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-15 1 1 1090,1507 1090,1507 1090,1507 1090,1507 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-16 1 1 1090,1475 1090,1475 1090,1475 1090,1475 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-19 1 1 1090,1841 1090,1841 1090,1841 1090,1841 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-20 1 1 1090,3189 1090,3189 1090,3189 1090,3189 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-21 1 1 1090,3856 1090,3856 1090,3856 1090,3856 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-22 1 1 1090,4072 1090,4072 1090,4072 1090,4072 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-23 1 1 1090,3854 1090,3854 1090,3854 1090,3854 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-26 1 1 1090,4411 1090,4411 1090,4411 1090,4411 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-27 1 1 1090,4771 1090,4771 1090,4771 1090,4771 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-28 1 1 1090,4539 1090,4539 1090,4539 1090,4539 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-29 1 1 1090,3572 1090,3572 1090,3572 1090,3572 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-09-30 1 1 1090,2777 1090,2777 1090,2777 1090,2777 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-03 1 1 1090,2448 1090,2448 1090,2448 1090,2448 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-04 1 1 1090,2968 1090,2968 1090,2968 1090,2968 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-05 1 1 1090,3909 1090,3909 1090,3909 1090,3909 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-06 1 1 1090,3737 1090,3737 1090,3737 1090,3737 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-07 1 1 1090,3889 1090,3889 1090,3889 1090,3889 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-10 1 1 1090,4128 1090,4128 1090,4128 1090,4128 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-11 1 1 1090,4545 1090,4545 1090,4545 1090,4545 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-12 1 1 1090,465 1090,465 1090,465 1090,465 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-13 1 1 1090,6862 1090,6862 1090,6862 1090,6862 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-14 1 1 1090,711 1090,711 1090,711 1090,711 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-17 1 1 1090,7732 1090,7732 1090,7732 1090,7732 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-18 1 1 1090,7893 1090,7893 1090,7893 1090,7893 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-19 1 1 1090,8727 1090,8727 1090,8727 1090,8727 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-20 1 1 1091,0128 1091,0128 1091,0128 1091,0128 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-21 1 1 1091,075 1091,075 1091,075 1091,075 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-24 1 1 1091,1311 1091,1311 1091,1311 1091,1311 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-25 1 1 1091,1159 1091,1159 1091,1159 1091,1159 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-26 1 1 1091,1436 1091,1436 1091,1436 1091,1436 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-27 1 1 1091,1313 1091,1313 1091,1313 1091,1313 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-28 1 1 1091,1108 1091,1108 1091,1108 1091,1108 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-10-31 1 1 1091,2776 1091,2776 1091,2776 1091,2776 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-02 1 1 1091,2499 1091,2499 1091,2499 1091,2499 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-03 1 1 1091,2603 1091,2603 1091,2603 1091,2603 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-04 1 1 1091,2389 1091,2389 1091,2389 1091,2389 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-07 1 1 1091,2829 1091,2829 1091,2829 1091,2829 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-08 1 1 1091,3081 1091,3081 1091,3081 1091,3081 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-09 1 1 1091,3153 1091,3153 1091,3153 1091,3153 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-10 1 1 1091,3806 1091,3806 1091,3806 1091,3806 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-11 1 1 1091,3908 1091,3908 1091,3908 1091,3908 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-14 1 1 1091,497 1091,497 1091,497 1091,497 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-15 1 1 1091,4873 1091,4873 1091,4873 1091,4873 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-16 1 1 1091,5595 1091,5595 1091,5595 1091,5595 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-17 1 1 1091,5559 1091,5559 1091,5559 1091,5559 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-18 1 1 1091,4872 1091,4872 1091,4872 1091,4872 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-21 1 1 1091,6177 1091,6177 1091,6177 1091,6177 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-22 1 1 1091,6298 1091,6298 1091,6298 1091,6298 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-23 1 1 1091,7021 1091,7021 1091,7021 1091,7021 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-24 1 1 1091,7871 1091,7871 1091,7871 1091,7871 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-25 1 1 1091,6813 1091,6813 1091,6813 1091,6813 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-28 1 1 1091,7666 1091,7666 1091,7666 1091,7666 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-29 1 1 1091,7774 1091,7774 1091,7774 1091,7774 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-11-30 1 1 1091,7357 1091,7357 1091,7357 1091,7357 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-01 1 1 1091,8129 1091,8129 1091,8129 1091,8129 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-02 1 1 1091,599 1091,599 1091,599 1091,599 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-05 1 1 1091,5514 1091,5514 1091,5514 1091,5514 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-06 1 1 1091,4966 1091,4966 1091,4966 1091,4966 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-07 1 1 1091,5617 1091,5617 1091,5617 1091,5617 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-08 1 1 1091,5264 1091,5264 1091,5264 1091,5264 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-12 1 1 1091,6462 1091,6462 1091,6462 1091,6462 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-13 1 1 1091,6983 1091,6983 1091,6983 1091,6983 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-14 1 1 1091,7863 1091,7863 1091,7863 1091,7863 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-15 1 1 1091,7853 1091,7853 1091,7853 1091,7853 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-16 1 1 1091,8056 1091,8056 1091,8056 1091,8056 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-19 1 1 1091,9301 1091,9301 1091,9301 1091,9301 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-20 1 1 1091,9382 1091,9382 1091,9382 1091,9382 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-21 1 1 1091,9934 1091,9934 1091,9934 1091,9934 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-22 1 1 1092,0179 1092,0179 1092,0179 1092,0179 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-23 1 1 1092,0528 1092,0528 1092,0528 1092,0528 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-27 1 1 1092,1842 1092,1842 1092,1842 1092,1842 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-28 1 1 1092,2061 1092,2061 1092,2061 1092,2061 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-29 1 1 1092,199 1092,199 1092,199 1092,199 214163 HQ Fonder Sverige Aktiebolag HQ Likviditetsfond SEK 2005-12-30 1 1 1092,2152 1092,2152 1092,2152 1092,2152 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-03 1 1 1169,6842 1169,6842 1169,6842 1169,6842 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-04 1 1 1169,8735 1169,8735 1169,8735 1169,8735 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-05 1 1 1167,748 1167,748 1167,748 1167,748 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-07 1 1 1172,4161 1172,4161 1172,4161 1172,4161 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-10 1 1 1173,936 1173,936 1173,936 1173,936 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-11 1 1 1174,1066 1174,1066 1174,1066 1174,1066 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-12 1 1 1174,1458 1174,1458 1174,1458 1174,1458 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-13 1 1 1175,9171 1175,9171 1175,9171 1175,9171 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-14 1 1 1176,3249 1176,3249 1176,3249 1176,3249 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-17 1 1 1177,3884 1177,3884 1177,3884 1177,3884 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-18 1 1 1176,7816 1176,7816 1176,7816 1176,7816 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-19 1 1 1178,5973 1178,5973 1178,5973 1178,5973 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-20 1 1 1176,6089 1176,6089 1176,6089 1176,6089 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-21 1 1 1177,9897 1177,9897 1177,9897 1177,9897 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-24 1 1 1180,0915 1180,0915 1180,0915 1180,0915 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-25 1 1 1179,8044 1179,8044 1179,8044 1179,8044 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-26 1 1 1178,652 1178,652 1178,652 1178,652 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-27 1 1 1177,5679 1177,5679 1177,5679 1177,5679 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-28 1 1 1180,1128 1180,1128 1180,1128 1180,1128 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-01-31 1 1 1180,3804 1180,3804 1180,3804 1180,3804 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-01 1 1 1181,9371 1181,9371 1181,9371 1181,9371 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-02 1 1 1181,632 1181,632 1181,632 1181,632 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-03 1 1 1180,9614 1180,9614 1180,9614 1180,9614 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-04 1 1 1183,1109 1183,1109 1183,1109 1183,1109 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-07 1 1 1183,896 1183,896 1183,896 1183,896 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-08 1 1 1183,4325 1183,4325 1183,4325 1183,4325 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-09 1 1 1185,4523 1185,4523 1185,4523 1185,4523 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-10 1 1 1187,2081 1187,2081 1187,2081 1187,2081 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-11 1 1 1186,6257 1186,6257 1186,6257 1186,6257 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-14 1 1 1184,8546 1184,8546 1184,8546 1184,8546 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-15 1 1 1184,6492 1184,6492 1184,6492 1184,6492 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-16 1 1 1185,2545 1185,2545 1185,2545 1185,2545 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-17 1 1 1184,4697 1184,4697 1184,4697 1184,4697 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-18 1 1 1180,1043 1180,1043 1180,1043 1180,1043 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-21 1 1 1177,7518 1177,7518 1177,7518 1177,7518 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-22 1 1 1176,2403 1176,2403 1176,2403 1176,2403 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-23 1 1 1132,1351 1132,1351 1132,1351 1132,1351 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-24 1 1 1130,3843 1130,3843 1130,3843 1130,3843 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-25 1 1 1129,6172 1129,6172 1129,6172 1129,6172 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-02-28 1 1 1131,4242 1131,4242 1131,4242 1131,4242 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-01 1 1 1130,9289 1130,9289 1130,9289 1130,9289 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-02 1 1 1128,7007 1128,7007 1128,7007 1128,7007 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-03 1 1 1129,7345 1129,7345 1129,7345 1129,7345 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-04 1 1 1132,6291 1132,6291 1132,6291 1132,6291 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-07 1 1 1134,4637 1134,4637 1134,4637 1134,4637 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-08 1 1 1135,0568 1135,0568 1135,0568 1135,0568 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-09 1 1 1132,5603 1132,5603 1132,5603 1132,5603 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-10 1 1 1132,6549 1132,6549 1132,6549 1132,6549 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-11 1 1 1130,8664 1130,8664 1130,8664 1130,8664 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-14 1 1 1130,8715 1130,8715 1130,8715 1130,8715 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-15 1 1 1133,2593 1133,2593 1133,2593 1133,2593 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-16 1 1 1132,4531 1132,4531 1132,4531 1132,4531 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-17 1 1 1133,365 1133,365 1133,365 1133,365 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-18 1 1 1132,879 1132,879 1132,879 1132,879 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-21 1 1 1132,1011 1132,1011 1132,1011 1132,1011 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-22 1 1 1134,0036 1134,0036 1134,0036 1134,0036 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-23 1 1 1133,2423 1133,2423 1133,2423 1133,2423 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-24 1 1 1133,9055 1133,9055 1133,9055 1133,9055 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-29 1 1 1134,5536 1134,5536 1134,5536 1134,5536 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-30 1 1 1135,3551 1135,3551 1135,3551 1135,3551 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-03-31 1 1 1138,2211 1138,2211 1138,2211 1138,2211 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-01 1 1 1140,0832 1140,0832 1140,0832 1140,0832 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-04 1 1 1140,956 1140,956 1140,956 1140,956 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-05 1 1 1141,0059 1141,0059 1141,0059 1141,0059 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-06 1 1 1141,6133 1141,6133 1141,6133 1141,6133 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-07 1 1 1142,2755 1142,2755 1142,2755 1142,2755 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-08 1 1 1140,5271 1140,5271 1140,5271 1140,5271 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-11 1 1 1141,8366 1141,8366 1141,8366 1141,8366 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-12 1 1 1142,2084 1142,2084 1142,2084 1142,2084 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-13 1 1 1144,2411 1144,2411 1144,2411 1144,2411 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-14 1 1 1144,7935 1144,7935 1144,7935 1144,7935 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-15 1 1 1147,3102 1147,3102 1147,3102 1147,3102 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-18 1 1 1147,9184 1147,9184 1147,9184 1147,9184 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-19 1 1 1148,6061 1148,6061 1148,6061 1148,6061 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-20 1 1 1148,6219 1148,6219 1148,6219 1148,6219 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-21 1 1 1148,9611 1148,9611 1148,9611 1148,9611 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-22 1 1 1150,8543 1150,8543 1150,8543 1150,8543 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-25 1 1 1151,9704 1151,9704 1151,9704 1151,9704 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-26 1 1 1153,0983 1153,0983 1153,0983 1153,0983 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-27 1 1 1154,8489 1154,8489 1154,8489 1154,8489 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-28 1 1 1156,098 1156,098 1156,098 1156,098 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-04-29 1 1 1156,8546 1156,8546 1156,8546 1156,8546 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-02 1 1 1157,6941 1157,6941 1157,6941 1157,6941 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-03 1 1 1158,0164 1158,0164 1158,0164 1158,0164 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-04 1 1 1155,4239 1155,4239 1155,4239 1155,4239 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-06 1 1 1153,0699 1153,0699 1153,0699 1153,0699 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-09 1 1 1154,0608 1154,0608 1154,0608 1154,0608 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-10 1 1 1157,8844 1157,8844 1157,8844 1157,8844 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-11 1 1 1159,3512 1159,3512 1159,3512 1159,3512 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-12 1 1 1158,3169 1158,3169 1158,3169 1158,3169 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-13 1 1 1160,7574 1160,7574 1160,7574 1160,7574 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-16 1 1 1161,3998 1161,3998 1161,3998 1161,3998 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-17 1 1 1161,5688 1161,5688 1161,5688 1161,5688 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-18 1 1 1164,925 1164,925 1164,925 1164,925 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-19 1 1 1163,619 1163,619 1163,619 1163,619 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-20 1 1 1161,1454 1161,1454 1161,1454 1161,1454 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-23 1 1 1161,8908 1161,8908 1161,8908 1161,8908 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-24 1 1 1163,4364 1163,4364 1163,4364 1163,4364 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-25 1 1 1165,2752 1165,2752 1165,2752 1165,2752 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-26 1 1 1162,5953 1162,5953 1162,5953 1162,5953 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-27 1 1 1163,2203 1163,2203 1163,2203 1163,2203 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-30 1 1 1161,8836 1161,8836 1161,8836 1161,8836 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-05-31 1 1 1165,9769 1165,9769 1165,9769 1165,9769 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-01 1 1 1168,6101 1168,6101 1168,6101 1168,6101 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-02 1 1 1169,6268 1169,6268 1169,6268 1169,6268 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-03 1 1 1173,8162 1173,8162 1173,8162 1173,8162 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-07 1 1 1173,9447 1173,9447 1173,9447 1173,9447 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-08 1 1 1177,9752 1177,9752 1177,9752 1177,9752 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-09 1 1 1177,3641 1177,3641 1177,3641 1177,3641 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-10 1 1 1177,2843 1177,2843 1177,2843 1177,2843 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-13 1 1 1176,7408 1176,7408 1176,7408 1176,7408 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-14 1 1 1174,5376 1174,5376 1174,5376 1174,5376 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-15 1 1 1171,3406 1171,3406 1171,3406 1171,3406 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-16 1 1 1169,3254 1169,3254 1169,3254 1169,3254 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-17 1 1 1171,8256 1171,8256 1171,8256 1171,8256 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-20 1 1 1171,2459 1171,2459 1171,2459 1171,2459 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-21 1 1 1178,1401 1178,1401 1178,1401 1178,1401 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-22 1 1 1182,3681 1182,3681 1182,3681 1182,3681 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-23 1 1 1182,0507 1182,0507 1182,0507 1182,0507 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-27 1 1 1183,8432 1183,8432 1183,8432 1183,8432 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-28 1 1 1181,6351 1181,6351 1181,6351 1181,6351 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-29 1 1 1183,8567 1183,8567 1183,8567 1183,8567 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-06-30 1 1 1183,923 1183,923 1183,923 1183,923 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-01 1 1 1185,0311 1185,0311 1185,0311 1185,0311 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-04 1 1 1182,5763 1182,5763 1182,5763 1182,5763 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-05 1 1 1179,8791 1179,8791 1179,8791 1179,8791 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-06 1 1 1180,7866 1180,7866 1180,7866 1180,7866 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-07 1 1 1182,9762 1182,9762 1182,9762 1182,9762 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-08 1 1 1183,6427 1183,6427 1183,6427 1183,6427 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-11 1 1 1181,0132 1181,0132 1181,0132 1181,0132 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-12 1 1 1179,851 1179,851 1179,851 1179,851 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-13 1 1 1178,7885 1178,7885 1178,7885 1178,7885 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-14 1 1 1177,3148 1177,3148 1177,3148 1177,3148 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-15 1 1 1176,9808 1176,9808 1176,9808 1176,9808 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-18 1 1 1177,9539 1177,9539 1177,9539 1177,9539 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-19 1 1 1177,2234 1177,2234 1177,2234 1177,2234 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-20 1 1 1177,7417 1177,7417 1177,7417 1177,7417 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-21 1 1 1178,2829 1178,2829 1178,2829 1178,2829 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-22 1 1 1181,1059 1181,1059 1181,1059 1181,1059 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-25 1 1 1182,3995 1182,3995 1182,3995 1182,3995 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-26 1 1 1181,289 1181,289 1181,289 1181,289 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-27 1 1 1183,5394 1183,5394 1183,5394 1183,5394 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-28 1 1 1181,9452 1181,9452 1181,9452 1181,9452 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-07-29 1 1 1179,6763 1179,6763 1179,6763 1179,6763 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-01 1 1 1175,3178 1175,3178 1175,3178 1175,3178 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-02 1 1 1173,0413 1173,0413 1173,0413 1173,0413 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-03 1 1 1171,5269 1171,5269 1171,5269 1171,5269 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-04 1 1 1173,5049 1173,5049 1173,5049 1173,5049 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-05 1 1 1170,588 1170,588 1170,588 1170,588 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-08 1 1 1170,396 1170,396 1170,396 1170,396 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-09 1 1 1170,6264 1170,6264 1170,6264 1170,6264 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-10 1 1 1172,7801 1172,7801 1172,7801 1172,7801 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-11 1 1 1173,0245 1173,0245 1173,0245 1173,0245 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-12 1 1 1174,2194 1174,2194 1174,2194 1174,2194 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-15 1 1 1175,0506 1175,0506 1175,0506 1175,0506 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-16 1 1 1176,1637 1176,1637 1176,1637 1176,1637 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-17 1 1 1176,0914 1176,0914 1176,0914 1176,0914 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-18 1 1 1176,0227 1176,0227 1176,0227 1176,0227 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-19 1 1 1174,9623 1174,9623 1174,9623 1174,9623 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-22 1 1 1177,0845 1177,0845 1177,0845 1177,0845 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-23 1 1 1179,963 1179,963 1179,963 1179,963 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-24 1 1 1179,4451 1179,4451 1179,4451 1179,4451 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-25 1 1 1181,1208 1181,1208 1181,1208 1181,1208 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-26 1 1 1181,4749 1181,4749 1181,4749 1181,4749 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-29 1 1 1180,8034 1180,8034 1180,8034 1180,8034 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-30 1 1 1180,5992 1180,5992 1180,5992 1180,5992 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-08-31 1 1 1183,9455 1183,9455 1183,9455 1183,9455 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-01 1 1 1186,1174 1186,1174 1186,1174 1186,1174 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-02 1 1 1186,5862 1186,5862 1186,5862 1186,5862 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-05 1 1 1187,5079 1187,5079 1187,5079 1187,5079 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-06 1 1 1185,6641 1185,6641 1185,6641 1185,6641 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-07 1 1 1185,7808 1185,7808 1185,7808 1185,7808 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-08 1 1 1187,3714 1187,3714 1187,3714 1187,3714 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-09 1 1 1189,1592 1189,1592 1189,1592 1189,1592 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-12 1 1 1185,4696 1185,4696 1185,4696 1185,4696 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-13 1 1 1185,8547 1185,8547 1185,8547 1185,8547 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-14 1 1 1184,8853 1184,8853 1184,8853 1184,8853 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-15 1 1 1184,3818 1184,3818 1184,3818 1184,3818 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-16 1 1 1183,2159 1183,2159 1183,2159 1183,2159 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-19 1 1 1183,147 1183,147 1183,147 1183,147 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-20 1 1 1184,8854 1184,8854 1184,8854 1184,8854 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-21 1 1 1188,0004 1188,0004 1188,0004 1188,0004 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-22 1 1 1187,2959 1187,2959 1187,2959 1187,2959 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-23 1 1 1185,0487 1185,0487 1185,0487 1185,0487 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-26 1 1 1183,0833 1183,0833 1183,0833 1183,0833 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-27 1 1 1183,3678 1183,3678 1183,3678 1183,3678 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-28 1 1 1182,333 1182,333 1182,333 1182,333 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-29 1 1 1180,3202 1180,3202 1180,3202 1180,3202 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-09-30 1 1 1180,8416 1180,8416 1180,8416 1180,8416 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-03 1 1 1177,206 1177,206 1177,206 1177,206 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-04 1 1 1178,0833 1178,0833 1178,0833 1178,0833 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-05 1 1 1178,7409 1178,7409 1178,7409 1178,7409 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-06 1 1 1177,606 1177,606 1177,606 1177,606 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-07 1 1 1177,3464 1177,3464 1177,3464 1177,3464 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-10 1 1 1177,5388 1177,5388 1177,5388 1177,5388 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-11 1 1 1176,845 1176,845 1176,845 1176,845 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-12 1 1 1175,5503 1175,5503 1175,5503 1175,5503 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-13 1 1 1174,3234 1174,3234 1174,3234 1174,3234 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-14 1 1 1174,5565 1174,5565 1174,5565 1174,5565 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-17 1 1 1174,3806 1174,3806 1174,3806 1174,3806 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-18 1 1 1174,4847 1174,4847 1174,4847 1174,4847 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-19 1 1 1176,6749 1176,6749 1176,6749 1176,6749 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-20 1 1 1175,199 1175,199 1175,199 1175,199 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-21 1 1 1177,139 1177,139 1177,139 1177,139 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-24 1 1 1177,8754 1177,8754 1177,8754 1177,8754 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-25 1 1 1175,9503 1175,9503 1175,9503 1175,9503 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-26 1 1 1176,0102 1176,0102 1176,0102 1176,0102 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-27 1 1 1172,2561 1172,2561 1172,2561 1172,2561 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-28 1 1 1171,3384 1171,3384 1171,3384 1171,3384 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-10-31 1 1 1170,3591 1170,3591 1170,3591 1170,3591 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-01 1 1 1169,8553 1169,8553 1169,8553 1169,8553 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-02 1 1 1167,911 1167,911 1167,911 1167,911 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-03 1 1 1166,2682 1166,2682 1166,2682 1166,2682 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-04 1 1 1163,8439 1163,8439 1163,8439 1163,8439 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-07 1 1 1162,7689 1162,7689 1162,7689 1162,7689 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-08 1 1 1163,8982 1163,8982 1163,8982 1163,8982 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-09 1 1 1162,2207 1162,2207 1162,2207 1162,2207 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-10 1 1 1162,9413 1162,9413 1162,9413 1162,9413 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-11 1 1 1164,1669 1164,1669 1164,1669 1164,1669 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-14 1 1 1165,3088 1165,3088 1165,3088 1165,3088 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-15 1 1 1164,307 1164,307 1164,307 1164,307 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-16 1 1 1167,5797 1167,5797 1167,5797 1167,5797 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-17 1 1 1166,9989 1166,9989 1166,9989 1166,9989 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-18 1 1 1163,2003 1163,2003 1163,2003 1163,2003 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-21 1 1 1165,7222 1165,7222 1165,7222 1165,7222 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-22 1 1 1165,6703 1165,6703 1165,6703 1165,6703 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-23 1 1 1166,6128 1166,6128 1166,6128 1166,6128 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-24 1 1 1169,801 1169,801 1169,801 1169,801 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-25 1 1 1168,2611 1168,2611 1168,2611 1168,2611 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-28 1 1 1168,5599 1168,5599 1168,5599 1168,5599 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-29 1 1 1167,9896 1167,9896 1167,9896 1167,9896 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-11-30 1 1 1166,4515 1166,4515 1166,4515 1166,4515 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-01 1 1 1168,2101 1168,2101 1168,2101 1168,2101 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-02 1 1 1166,005 1166,005 1166,005 1166,005 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-05 1 1 1163,5537 1163,5537 1163,5537 1163,5537 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-06 1 1 1163,9695 1163,9695 1163,9695 1163,9695 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-07 1 1 1164,3254 1164,3254 1164,3254 1164,3254 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-08 1 1 1164,6749 1164,6749 1164,6749 1164,6749 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-12 1 1 1162,9188 1162,9188 1162,9188 1162,9188 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-13 1 1 1164,1674 1164,1674 1164,1674 1164,1674 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-14 1 1 1166,5245 1166,5245 1166,5245 1166,5245 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-15 1 1 1167,5496 1167,5496 1167,5496 1167,5496 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-16 1 1 1167,5473 1167,5473 1167,5473 1167,5473 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-19 1 1 1169,1181 1169,1181 1169,1181 1169,1181 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-20 1 1 1168,6301 1168,6301 1168,6301 1168,6301 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-21 1 1 1166,4865 1166,4865 1166,4865 1166,4865 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-22 1 1 1165,6073 1165,6073 1165,6073 1165,6073 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-23 1 1 1166,4401 1166,4401 1166,4401 1166,4401 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-27 1 1 1168,4063 1168,4063 1168,4063 1168,4063 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-28 1 1 1168,4469 1168,4469 1168,4469 1168,4469 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-29 1 1 1168,0424 1168,0424 1168,0424 1168,0424 178335 HQ Fonder Sverige Aktiebolag HQ Obligationsfond SEK 2005-12-30 1 1 1168,8965 1168,8965 1168,8965 1168,8965 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-03 1 1 19,8596 19,8596 19,8596 19,8596 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-04 1 1 19,9177 19,9177 19,9177 19,9177 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-05 1 1 20,0393 20,0393 20,0393 20,0393 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-07 1 1 20,0404 20,0404 20,0404 20,0404 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-10 1 1 20,194 20,194 20,194 20,194 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-11 1 1 20,1075 20,1075 20,1075 20,1075 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-12 1 1 19,9144 19,9144 19,9144 19,9144 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-13 1 1 20,0665 20,0665 20,0665 20,0665 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-14 1 1 20,4199 20,4199 20,4199 20,4199 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-17 1 1 20,3391 20,3391 20,3391 20,3391 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-18 1 1 20,2167 20,2167 20,2167 20,2167 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-19 1 1 19,9804 19,9804 19,9804 19,9804 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-20 1 1 20,0106 20,0106 20,0106 20,0106 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-21 1 1 20,0651 20,0651 20,0651 20,0651 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-24 1 1 20,131 20,131 20,131 20,131 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-25 1 1 20,4454 20,4454 20,4454 20,4454 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-26 1 1 20,4294 20,4294 20,4294 20,4294 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-27 1 1 20,6572 20,6572 20,6572 20,6572 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-28 1 1 20,9926 20,9926 20,9926 20,9926 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-01-31 1 1 21,4119 21,4119 21,4119 21,4119 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-01 1 1 21,5778 21,5778 21,5778 21,5778 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-02 1 1 21,8458 21,8458 21,8458 21,8458 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-03 1 1 22,2888 22,2888 22,2888 22,2888 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-04 1 1 22,3718 22,3718 22,3718 22,3718 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-07 1 1 22,5919 22,5919 22,5919 22,5919 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-08 1 1 22,7364 22,7364 22,7364 22,7364 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-09 1 1 22,7479 22,7479 22,7479 22,7479 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-10 1 1 22,638 22,638 22,638 22,638 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-11 1 1 22,588 22,588 22,588 22,588 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-14 1 1 22,541 22,541 22,541 22,541 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-15 1 1 22,6103 22,6103 22,6103 22,6103 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-16 1 1 22,6551 22,6551 22,6551 22,6551 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-17 1 1 22,9188 22,9188 22,9188 22,9188 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-18 1 1 22,9003 22,9003 22,9003 22,9003 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-21 1 1 23,0957 23,0957 23,0957 23,0957 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-22 1 1 22,678 22,678 22,678 22,678 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-23 1 1 22,7137 22,7137 22,7137 22,7137 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-24 1 1 23,0185 23,0185 23,0185 23,0185 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-25 1 1 23,4983 23,4983 23,4983 23,4983 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-02-28 1 1 23,7185 23,7185 23,7185 23,7185 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-01 1 1 23,7086 23,7086 23,7086 23,7086 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-02 1 1 23,691 23,691 23,691 23,691 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-03 1 1 23,477 23,477 23,477 23,477 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-04 1 1 23,4422 23,4422 23,4422 23,4422 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-07 1 1 23,6727 23,6727 23,6727 23,6727 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-08 1 1 23,4892 23,4892 23,4892 23,4892 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-09 1 1 23,4449 23,4449 23,4449 23,4449 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-10 1 1 23,1524 23,1524 23,1524 23,1524 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-11 1 1 23,0439 23,0439 23,0439 23,0439 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-14 1 1 23,0861 23,0861 23,0861 23,0861 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-15 1 1 23,1436 23,1436 23,1436 23,1436 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-16 1 1 22,4212 22,4212 22,4212 22,4212 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-17 1 1 22,5728 22,5728 22,5728 22,5728 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-18 1 1 22,6996 22,6996 22,6996 22,6996 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-21 1 1 22,4786 22,4786 22,4786 22,4786 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-22 1 1 22,7315 22,7315 22,7315 22,7315 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-23 1 1 22,6245 22,6245 22,6245 22,6245 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-24 1 1 23,1433 23,1433 23,1433 23,1433 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-29 1 1 23,0485 23,0485 23,0485 23,0485 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-30 1 1 22,6305 22,6305 22,6305 22,6305 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-03-31 1 1 22,9464 22,9464 22,9464 22,9464 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-01 1 1 23,236 23,236 23,236 23,236 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-04 1 1 23,55 23,55 23,55 23,55 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-05 1 1 23,5386 23,5386 23,5386 23,5386 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-06 1 1 23,9367 23,9367 23,9367 23,9367 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-07 1 1 23,8929 23,8929 23,8929 23,8929 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-08 1 1 24,3764 24,3764 24,3764 24,3764 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-11 1 1 23,5275 23,5275 23,5275 23,5275 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-12 1 1 23,5054 23,5054 23,5054 23,5054 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-13 1 1 23,7218 23,7218 23,7218 23,7218 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-14 1 1 23,5388 23,5388 23,5388 23,5388 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-15 1 1 23,3095 23,3095 23,3095 23,3095 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-18 1 1 22,7702 22,7702 22,7702 22,7702 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-19 1 1 22,8225 22,8225 22,8225 22,8225 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-20 1 1 22,7605 22,7605 22,7605 22,7605 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-21 1 1 22,9105 22,9105 22,9105 22,9105 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-22 1 1 22,826 22,826 22,826 22,826 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-25 1 1 22,8731 22,8731 22,8731 22,8731 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-26 1 1 22,7429 22,7429 22,7429 22,7429 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-27 1 1 22,4315 22,4315 22,4315 22,4315 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-28 1 1 22,4087 22,4087 22,4087 22,4087 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-04-29 1 1 22,5396 22,5396 22,5396 22,5396 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-02 1 1 22,6789 22,6789 22,6789 22,6789 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-03 1 1 22,6155 22,6155 22,6155 22,6155 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-04 1 1 22,3492 22,3492 22,3492 22,3492 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-06 1 1 22,6286 22,6286 22,6286 22,6286 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-09 1 1 22,678 22,678 22,678 22,678 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-10 1 1 22,6825 22,6825 22,6825 22,6825 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-11 1 1 22,5595 22,5595 22,5595 22,5595 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-12 1 1 22,4049 22,4049 22,4049 22,4049 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-13 1 1 22,1755 22,1755 22,1755 22,1755 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-16 1 1 21,9848 21,9848 21,9848 21,9848 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-17 1 1 22,1225 22,1225 22,1225 22,1225 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-18 1 1 22,449 22,449 22,449 22,449 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-19 1 1 22,388 22,388 22,388 22,388 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-20 1 1 22,587 22,587 22,587 22,587 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-23 1 1 22,5105 22,5105 22,5105 22,5105 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-24 1 1 23,0718 23,0718 23,0718 23,0718 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-25 1 1 22,9824 22,9824 22,9824 22,9824 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-26 1 1 23,1886 23,1886 23,1886 23,1886 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-27 1 1 23,1651 23,1651 23,1651 23,1651 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-30 1 1 23,1778 23,1778 23,1778 23,1778 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-05-31 1 1 23,6289 23,6289 23,6289 23,6289 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-01 1 1 23,5135 23,5135 23,5135 23,5135 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-02 1 1 23,8051 23,8051 23,8051 23,8051 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-03 1 1 23,7188 23,7188 23,7188 23,7188 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-07 1 1 23,5615 23,5615 23,5615 23,5615 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-08 1 1 23,6096 23,6096 23,6096 23,6096 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-09 1 1 23,8821 23,8821 23,8821 23,8821 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-10 1 1 24,1977 24,1977 24,1977 24,1977 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-13 1 1 24,6245 24,6245 24,6245 24,6245 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-14 1 1 24,8764 24,8764 24,8764 24,8764 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-15 1 1 24,5794 24,5794 24,5794 24,5794 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-16 1 1 24,6187 24,6187 24,6187 24,6187 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-17 1 1 24,5465 24,5465 24,5465 24,5465 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-20 1 1 24,702 24,702 24,702 24,702 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-21 1 1 24,7616 24,7616 24,7616 24,7616 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-22 1 1 25,1444 25,1444 25,1444 25,1444 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-23 1 1 25,6815 25,6815 25,6815 25,6815 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-27 1 1 25,3912 25,3912 25,3912 25,3912 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-28 1 1 25,5605 25,5605 25,5605 25,5605 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-29 1 1 25,7593 25,7593 25,7593 25,7593 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-06-30 1 1 26,0829 26,0829 26,0829 26,0829 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-01 1 1 26,3883 26,3883 26,3883 26,3883 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-04 1 1 26,7573 26,7573 26,7573 26,7573 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-05 1 1 26,6459 26,6459 26,6459 26,6459 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-06 1 1 27,0211 27,0211 27,0211 27,0211 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-07 1 1 27,0992 27,0992 27,0992 27,0992 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-08 1 1 27,4674 27,4674 27,4674 27,4674 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-11 1 1 27,5442 27,5442 27,5442 27,5442 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-12 1 1 27,0419 27,0419 27,0419 27,0419 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-13 1 1 27,2502 27,2502 27,2502 27,2502 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-14 1 1 27,2939 27,2939 27,2939 27,2939 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-15 1 1 27,1375 27,1375 27,1375 27,1375 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-18 1 1 26,9773 26,9773 26,9773 26,9773 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-19 1 1 27,3457 27,3457 27,3457 27,3457 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-20 1 1 27,5407 27,5407 27,5407 27,5407 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-21 1 1 27,399 27,399 27,399 27,399 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-22 1 1 27,7164 27,7164 27,7164 27,7164 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-25 1 1 27,9556 27,9556 27,9556 27,9556 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-26 1 1 27,9053 27,9053 27,9053 27,9053 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-27 1 1 27,9837 27,9837 27,9837 27,9837 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-28 1 1 28,1118 28,1118 28,1118 28,1118 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-07-29 1 1 28,1192 28,1192 28,1192 28,1192 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-01 1 1 27,9421 27,9421 27,9421 27,9421 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-02 1 1 28,3032 28,3032 28,3032 28,3032 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-03 1 1 28,0218 28,0218 28,0218 28,0218 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-04 1 1 28,1517 28,1517 28,1517 28,1517 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-05 1 1 28,5509 28,5509 28,5509 28,5509 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-08 1 1 28,6865 28,6865 28,6865 28,6865 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-09 1 1 28,8719 28,8719 28,8719 28,8719 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-10 1 1 28,906 28,906 28,906 28,906 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-11 1 1 28,2564 28,2564 28,2564 28,2564 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-12 1 1 28,2802 28,2802 28,2802 28,2802 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-15 1 1 28,5862 28,5862 28,5862 28,5862 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-16 1 1 29,2669 29,2669 29,2669 29,2669 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-17 1 1 29,5558 29,5558 29,5558 29,5558 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-18 1 1 29,5896 29,5896 29,5896 29,5896 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-19 1 1 30,0935 30,0935 30,0935 30,0935 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-22 1 1 30,1348 30,1348 30,1348 30,1348 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-23 1 1 30,2853 30,2853 30,2853 30,2853 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-24 1 1 30,193 30,193 30,193 30,193 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-25 1 1 30,1785 30,1785 30,1785 30,1785 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-26 1 1 30,1719 30,1719 30,1719 30,1719 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-29 1 1 30,322 30,322 30,322 30,322 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-30 1 1 30,7547 30,7547 30,7547 30,7547 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-08-31 1 1 30,7271 30,7271 30,7271 30,7271 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-01 1 1 30,7709 30,7709 30,7709 30,7709 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-02 1 1 30,7856 30,7856 30,7856 30,7856 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-05 1 1 30,9802 30,9802 30,9802 30,9802 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-06 1 1 30,7594 30,7594 30,7594 30,7594 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-07 1 1 30,455 30,455 30,455 30,455 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-08 1 1 30,9354 30,9354 30,9354 30,9354 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-09 1 1 31,5944 31,5944 31,5944 31,5944 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-12 1 1 31,7617 31,7617 31,7617 31,7617 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-13 1 1 31,9217 31,9217 31,9217 31,9217 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-14 1 1 31,7799 31,7799 31,7799 31,7799 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-15 1 1 32,5002 32,5002 32,5002 32,5002 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-16 1 1 32,9773 32,9773 32,9773 32,9773 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-19 1 1 33,6958 33,6958 33,6958 33,6958 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-20 1 1 33,7047 33,7047 33,7047 33,7047 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-21 1 1 33,943 33,943 33,943 33,943 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-22 1 1 34,6218 34,6218 34,6218 34,6218 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-23 1 1 35,0781 35,0781 35,0781 35,0781 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-26 1 1 35,033 35,033 35,033 35,033 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-27 1 1 36,0395 36,0395 36,0395 36,0395 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-28 1 1 36,3709 36,3709 36,3709 36,3709 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-29 1 1 36,5608 36,5608 36,5608 36,5608 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-09-30 1 1 36,8612 36,8612 36,8612 36,8612 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-03 1 1 37,9641 37,9641 37,9641 37,9641 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-04 1 1 38,5486 38,5486 38,5486 38,5486 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-05 1 1 37,5127 37,5127 37,5127 37,5127 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-06 1 1 35,0632 35,0632 35,0632 35,0632 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-07 1 1 35,268 35,268 35,268 35,268 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-10 1 1 35,9153 35,9153 35,9153 35,9153 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-11 1 1 36,6884 36,6884 36,6884 36,6884 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-12 1 1 35,9799 35,9799 35,9799 35,9799 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-13 1 1 35,1026 35,1026 35,1026 35,1026 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-14 1 1 34,6846 34,6846 34,6846 34,6846 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-17 1 1 34,5458 34,5458 34,5458 34,5458 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-18 1 1 35,0256 35,0256 35,0256 35,0256 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-19 1 1 33,7054 33,7054 33,7054 33,7054 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-20 1 1 33,9555 33,9555 33,9555 33,9555 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-21 1 1 33,4814 33,4814 33,4814 33,4814 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-24 1 1 34,5973 34,5973 34,5973 34,5973 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-25 1 1 33,9683 33,9683 33,9683 33,9683 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-26 1 1 34,0809 34,0809 34,0809 34,0809 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-27 1 1 33,775 33,775 33,775 33,775 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-28 1 1 33,946 33,946 33,946 33,946 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-10-31 1 1 34,8647 34,8647 34,8647 34,8647 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-01 1 1 35,3999 35,3999 35,3999 35,3999 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-02 1 1 36,0163 36,0163 36,0163 36,0163 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-03 1 1 36,7382 36,7382 36,7382 36,7382 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-04 1 1 36,891 36,891 36,891 36,891 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-07 1 1 37,4635 37,4635 37,4635 37,4635 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-08 1 1 37,304 37,304 37,304 37,304 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-09 1 1 37,972 37,972 37,972 37,972 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-10 1 1 37,9 37,9 37,9 37,9 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-11 1 1 37,377 37,377 37,377 37,377 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-14 1 1 37,8576 37,8576 37,8576 37,8576 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-15 1 1 38,1563 38,1563 38,1563 38,1563 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-16 1 1 37,9041 37,9041 37,9041 37,9041 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-17 1 1 38,6143 38,6143 38,6143 38,6143 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-18 1 1 38,155 38,155 38,155 38,155 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-21 1 1 38,2145 38,2145 38,2145 38,2145 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-22 1 1 38,3002 38,3002 38,3002 38,3002 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-23 1 1 37,8127 37,8127 37,8127 37,8127 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-24 1 1 38,0715 38,0715 38,0715 38,0715 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-25 1 1 38,1422 38,1422 38,1422 38,1422 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-28 1 1 38,7107 38,7107 38,7107 38,7107 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-29 1 1 38,3871 38,3871 38,3871 38,3871 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-11-30 1 1 38,6758 38,6758 38,6758 38,6758 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-01 1 1 39,463 39,463 39,463 39,463 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-02 1 1 39,8777 39,8777 39,8777 39,8777 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-05 1 1 39,6581 39,6581 39,6581 39,6581 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-06 1 1 39,1638 39,1638 39,1638 39,1638 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-07 1 1 39,7202 39,7202 39,7202 39,7202 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-08 1 1 39,6027 39,6027 39,6027 39,6027 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-12 1 1 39,3679 39,3679 39,3679 39,3679 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-13 1 1 39,416 39,416 39,416 39,416 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-14 1 1 39,3692 39,3692 39,3692 39,3692 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-15 1 1 39,5144 39,5144 39,5144 39,5144 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-16 1 1 39,6811 39,6811 39,6811 39,6811 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-19 1 1 39,6756 39,6756 39,6756 39,6756 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-20 1 1 39,8309 39,8309 39,8309 39,8309 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-21 1 1 40,331 40,331 40,331 40,331 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-22 1 1 40,8634 40,8634 40,8634 40,8634 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-23 1 1 40,8985 40,8985 40,8985 40,8985 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-27 1 1 40,9484 40,9484 40,9484 40,9484 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-28 1 1 40,248 40,248 40,248 40,248 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-29 1 1 40,7854 40,7854 40,7854 40,7854 249995 HQ Fonder Sverige Aktiebolag HQ Rysslandsfond SEK 2005-12-30 1 1 40,9632 40,9632 40,9632 40,9632 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-03 1 1 493,2114 493,2114 493,2114 493,2114 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-04 1 1 494,0498 494,0498 494,0498 494,0498 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-05 1 1 491,9999 491,9999 491,9999 491,9999 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-07 1 1 494,316 494,316 494,316 494,316 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-10 1 1 498,6259 498,6259 498,6259 498,6259 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-11 1 1 497,6332 497,6332 497,6332 497,6332 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-12 1 1 492,6711 492,6711 492,6711 492,6711 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-13 1 1 492,5506 492,5506 492,5506 492,5506 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-14 1 1 494,8365 494,8365 494,8365 494,8365 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-17 1 1 495,6189 495,6189 495,6189 495,6189 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-18 1 1 495,5399 495,5399 495,5399 495,5399 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-19 1 1 497,7532 497,7532 497,7532 497,7532 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-20 1 1 495,1101 495,1101 495,1101 495,1101 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-21 1 1 492,9923 492,9923 492,9923 492,9923 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-24 1 1 491,8694 491,8694 491,8694 491,8694 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-25 1 1 494,9215 494,9215 494,9215 494,9215 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-26 1 1 495,5862 495,5862 495,5862 495,5862 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-27 1 1 492,3813 492,3813 492,3813 492,3813 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-28 1 1 491,1473 491,1473 491,1473 491,1473 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-01-31 1 1 492,2542 492,2542 492,2542 492,2542 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-01 1 1 495,2344 495,2344 495,2344 495,2344 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-02 1 1 496,9468 496,9468 496,9468 496,9468 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-03 1 1 496,5781 496,5781 496,5781 496,5781 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-04 1 1 497,0463 497,0463 497,0463 497,0463 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-07 1 1 500,4414 500,4414 500,4414 500,4414 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-08 1 1 502,7378 502,7378 502,7378 502,7378 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-09 1 1 503,5876 503,5876 503,5876 503,5876 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-10 1 1 502,3923 502,3923 502,3923 502,3923 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-11 1 1 504,049 504,049 504,049 504,049 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-14 1 1 505,2705 505,2705 505,2705 505,2705 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-15 1 1 511,2699 511,2699 511,2699 511,2699 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-16 1 1 506,8624 506,8624 506,8624 506,8624 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-17 1 1 509,5942 509,5942 509,5942 509,5942 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-18 1 1 509,7395 509,7395 509,7395 509,7395 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-21 1 1 510,4536 510,4536 510,4536 510,4536 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-22 1 1 508,278 508,278 508,278 508,278 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-23 1 1 507,1712 507,1712 507,1712 507,1712 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-24 1 1 508,5091 508,5091 508,5091 508,5091 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-25 1 1 511,3755 511,3755 511,3755 511,3755 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-02-28 1 1 513,3797 513,3797 513,3797 513,3797 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-01 1 1 514,8562 514,8562 514,8562 514,8562 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-02 1 1 515,5319 515,5319 515,5319 515,5319 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-03 1 1 515,7042 515,7042 515,7042 515,7042 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-04 1 1 517,0081 517,0081 517,0081 517,0081 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-07 1 1 516,3733 516,3733 516,3733 516,3733 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-08 1 1 515,9174 515,9174 515,9174 515,9174 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-09 1 1 515,344 515,344 515,344 515,344 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-10 1 1 510,8343 510,8343 510,8343 510,8343 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-11 1 1 497,0104 497,0104 497,0104 497,0104 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-14 1 1 497,2292 497,2292 497,2292 497,2292 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-15 1 1 499,6584 499,6584 499,6584 499,6584 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-16 1 1 496,5613 496,5613 496,5613 496,5613 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-17 1 1 495,7807 495,7807 495,7807 495,7807 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-18 1 1 495,6135 495,6135 495,6135 495,6135 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-21 1 1 496,865 496,865 496,865 496,865 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-22 1 1 499,1929 499,1929 499,1929 499,1929 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-23 1 1 498,156 498,156 498,156 498,156 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-24 1 1 503,1444 503,1444 503,1444 503,1444 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-29 1 1 502,4755 502,4755 502,4755 502,4755 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-30 1 1 500,1403 500,1403 500,1403 500,1403 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-03-31 1 1 502,8823 502,8823 502,8823 502,8823 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-01 1 1 505,5951 505,5951 505,5951 505,5951 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-04 1 1 504,9695 504,9695 504,9695 504,9695 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-05 1 1 508,9193 508,9193 508,9193 508,9193 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-06 1 1 511,9809 511,9809 511,9809 511,9809 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-07 1 1 513,9973 513,9973 513,9973 513,9973 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-08 1 1 514,3672 514,3672 514,3672 514,3672 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-11 1 1 516,6395 516,6395 516,6395 516,6395 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-12 1 1 515,3882 515,3882 515,3882 515,3882 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-13 1 1 517,1877 517,1877 517,1877 517,1877 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-14 1 1 516,0593 516,0593 516,0593 516,0593 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-15 1 1 511,9237 511,9237 511,9237 511,9237 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-18 1 1 503,7628 503,7628 503,7628 503,7628 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-19 1 1 506,0266 506,0266 506,0266 506,0266 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-20 1 1 508,1512 508,1512 508,1512 508,1512 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-21 1 1 507,4628 507,4628 507,4628 507,4628 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-22 1 1 508,2294 508,2294 508,2294 508,2294 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-25 1 1 508,7913 508,7913 508,7913 508,7913 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-26 1 1 507,5184 507,5184 507,5184 507,5184 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-27 1 1 496,2624 496,2624 496,2624 496,2624 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-28 1 1 491,4258 491,4258 491,4258 491,4258 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-04-29 1 1 492,0678 492,0678 492,0678 492,0678 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-02 1 1 495,3344 495,3344 495,3344 495,3344 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-03 1 1 493,4204 493,4204 493,4204 493,4204 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-04 1 1 492,3558 492,3558 492,3558 492,3558 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-06 1 1 495,5547 495,5547 495,5547 495,5547 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-09 1 1 496,4129 496,4129 496,4129 496,4129 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-10 1 1 495,6312 495,6312 495,6312 495,6312 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-11 1 1 495,2535 495,2535 495,2535 495,2535 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-12 1 1 497,4545 497,4545 497,4545 497,4545 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-13 1 1 496,4674 496,4674 496,4674 496,4674 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-16 1 1 497,6709 497,6709 497,6709 497,6709 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-17 1 1 499,0108 499,0108 499,0108 499,0108 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-18 1 1 502,5875 502,5875 502,5875 502,5875 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-19 1 1 505,2183 505,2183 505,2183 505,2183 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-20 1 1 507,4818 507,4818 507,4818 507,4818 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-23 1 1 509,7346 509,7346 509,7346 509,7346 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-24 1 1 511,4514 511,4514 511,4514 511,4514 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-25 1 1 511,859 511,859 511,859 511,859 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-26 1 1 513,8203 513,8203 513,8203 513,8203 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-27 1 1 515,5723 515,5723 515,5723 515,5723 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-30 1 1 516,246 516,246 516,246 516,246 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-05-31 1 1 516,7059 516,7059 516,7059 516,7059 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-01 1 1 517,2442 517,2442 517,2442 517,2442 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-02 1 1 515,9357 515,9357 515,9357 515,9357 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-03 1 1 516,1496 516,1496 516,1496 516,1496 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-07 1 1 518,1185 518,1185 518,1185 518,1185 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-08 1 1 519,365 519,365 519,365 519,365 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-09 1 1 519,6594 519,6594 519,6594 519,6594 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-10 1 1 522,4926 522,4926 522,4926 522,4926 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-13 1 1 528,1609 528,1609 528,1609 528,1609 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-14 1 1 530,8658 530,8658 530,8658 530,8658 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-15 1 1 530,6545 530,6545 530,6545 530,6545 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-16 1 1 530,2172 530,2172 530,2172 530,2172 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-17 1 1 531,7197 531,7197 531,7197 531,7197 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-20 1 1 529,6082 529,6082 529,6082 529,6082 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-21 1 1 531,4073 531,4073 531,4073 531,4073 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-22 1 1 533,2039 533,2039 533,2039 533,2039 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-23 1 1 535,3792 535,3792 535,3792 535,3792 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-27 1 1 531,3759 531,3759 531,3759 531,3759 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-28 1 1 533,9232 533,9232 533,9232 533,9232 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-29 1 1 537,3926 537,3926 537,3926 537,3926 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-06-30 1 1 537,5952 537,5952 537,5952 537,5952 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-01 1 1 539,0263 539,0263 539,0263 539,0263 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-04 1 1 542,3639 542,3639 542,3639 542,3639 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-05 1 1 543,0729 543,0729 543,0729 543,0729 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-06 1 1 544,4669 544,4669 544,4669 544,4669 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-07 1 1 538,8369 538,8369 538,8369 538,8369 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-08 1 1 543,5259 543,5259 543,5259 543,5259 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-11 1 1 550,8036 550,8036 550,8036 550,8036 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-12 1 1 551,2496 551,2496 551,2496 551,2496 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-13 1 1 553,8976 553,8976 553,8976 553,8976 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-14 1 1 554,9908 554,9908 554,9908 554,9908 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-15 1 1 553,8901 553,8901 553,8901 553,8901 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-18 1 1 553,9589 553,9589 553,9589 553,9589 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-19 1 1 556,8695 556,8695 556,8695 556,8695 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-20 1 1 555,2821 555,2821 555,2821 555,2821 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-21 1 1 562,4567 562,4567 562,4567 562,4567 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-22 1 1 564,5085 564,5085 564,5085 564,5085 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-25 1 1 564,1288 564,1288 564,1288 564,1288 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-26 1 1 565,6407 565,6407 565,6407 565,6407 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-27 1 1 567,4492 567,4492 567,4492 567,4492 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-28 1 1 570,6856 570,6856 570,6856 570,6856 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-07-29 1 1 570,9606 570,9606 570,9606 570,9606 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-01 1 1 571,0207 571,0207 571,0207 571,0207 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-02 1 1 572,7904 572,7904 572,7904 572,7904 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-03 1 1 573,2488 573,2488 573,2488 573,2488 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-04 1 1 570,4534 570,4534 570,4534 570,4534 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-05 1 1 570,3482 570,3482 570,3482 570,3482 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-08 1 1 570,1418 570,1418 570,1418 570,1418 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-09 1 1 573,3616 573,3616 573,3616 573,3616 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-10 1 1 573,7917 573,7917 573,7917 573,7917 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-11 1 1 569,3164 569,3164 569,3164 569,3164 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-12 1 1 566,1342 566,1342 566,1342 566,1342 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-15 1 1 565,6389 565,6389 565,6389 565,6389 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-16 1 1 568,3061 568,3061 568,3061 568,3061 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-17 1 1 568,328 568,328 568,328 568,328 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-18 1 1 567,9034 567,9034 567,9034 567,9034 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-19 1 1 571,4134 571,4134 571,4134 571,4134 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-22 1 1 574,2235 574,2235 574,2235 574,2235 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-23 1 1 571,3704 571,3704 571,3704 571,3704 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-24 1 1 562,5815 562,5815 562,5815 562,5815 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-25 1 1 557,8463 557,8463 557,8463 557,8463 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-26 1 1 552,9339 552,9339 552,9339 552,9339 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-29 1 1 553,3065 553,3065 553,3065 553,3065 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-30 1 1 554,7837 554,7837 554,7837 554,7837 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-08-31 1 1 556,5695 556,5695 556,5695 556,5695 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-01 1 1 557,4592 557,4592 557,4592 557,4592 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-02 1 1 555,9919 555,9919 555,9919 555,9919 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-05 1 1 559,0995 559,0995 559,0995 559,0995 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-06 1 1 562,3851 562,3851 562,3851 562,3851 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-07 1 1 563,6541 563,6541 563,6541 563,6541 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-08 1 1 561,5454 561,5454 561,5454 561,5454 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-09 1 1 564,543 564,543 564,543 564,543 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-12 1 1 565,9264 565,9264 565,9264 565,9264 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-13 1 1 566,4521 566,4521 566,4521 566,4521 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-14 1 1 569,0337 569,0337 569,0337 569,0337 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-15 1 1 568,6301 568,6301 568,6301 568,6301 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-16 1 1 573,0069 573,0069 573,0069 573,0069 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-19 1 1 574,1599 574,1599 574,1599 574,1599 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-20 1 1 573,8462 573,8462 573,8462 573,8462 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-21 1 1 571,3795 571,3795 571,3795 571,3795 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-22 1 1 570,5925 570,5925 570,5925 570,5925 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-23 1 1 573,0497 573,0497 573,0497 573,0497 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-26 1 1 579,1348 579,1348 579,1348 579,1348 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-27 1 1 581,8589 581,8589 581,8589 581,8589 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-28 1 1 588,2216 588,2216 588,2216 588,2216 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-29 1 1 587,4502 587,4502 587,4502 587,4502 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-09-30 1 1 592,3909 592,3909 592,3909 592,3909 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-03 1 1 594,6761 594,6761 594,6761 594,6761 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-04 1 1 593,938 593,938 593,938 593,938 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-05 1 1 589,8489 589,8489 589,8489 589,8489 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-06 1 1 582,5223 582,5223 582,5223 582,5223 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-07 1 1 581,1688 581,1688 581,1688 581,1688 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-10 1 1 584,7034 584,7034 584,7034 584,7034 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-11 1 1 586,0089 586,0089 586,0089 586,0089 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-12 1 1 582,4428 582,4428 582,4428 582,4428 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-13 1 1 574,9061 574,9061 574,9061 574,9061 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-14 1 1 574,3181 574,3181 574,3181 574,3181 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-17 1 1 574,3086 574,3086 574,3086 574,3086 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-18 1 1 573,508 573,508 573,508 573,508 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-19 1 1 567,7109 567,7109 567,7109 567,7109 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-20 1 1 569,0228 569,0228 569,0228 569,0228 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-21 1 1 565,0386 565,0386 565,0386 565,0386 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-24 1 1 569,1933 569,1933 569,1933 569,1933 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-25 1 1 571,6148 571,6148 571,6148 571,6148 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-26 1 1 576,5327 576,5327 576,5327 576,5327 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-27 1 1 570,9676 570,9676 570,9676 570,9676 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-28 1 1 569,1551 569,1551 569,1551 569,1551 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-10-31 1 1 577,8653 577,8653 577,8653 577,8653 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-01 1 1 581,86 581,86 581,86 581,86 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-02 1 1 585,0051 585,0051 585,0051 585,0051 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-03 1 1 588,8147 588,8147 588,8147 588,8147 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-04 1 1 591,1992 591,1992 591,1992 591,1992 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-07 1 1 594,0875 594,0875 594,0875 594,0875 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-08 1 1 593,8878 593,8878 593,8878 593,8878 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-09 1 1 594,4829 594,4829 594,4829 594,4829 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-10 1 1 595,6506 595,6506 595,6506 595,6506 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-11 1 1 600,1729 600,1729 600,1729 600,1729 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-14 1 1 600,5429 600,5429 600,5429 600,5429 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-15 1 1 601,2771 601,2771 601,2771 601,2771 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-16 1 1 602,4073 602,4073 602,4073 602,4073 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-17 1 1 605,0454 605,0454 605,0454 605,0454 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-18 1 1 607,6415 607,6415 607,6415 607,6415 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-21 1 1 608,7263 608,7263 608,7263 608,7263 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-22 1 1 608,9567 608,9567 608,9567 608,9567 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-23 1 1 609,3709 609,3709 609,3709 609,3709 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-24 1 1 607,3896 607,3896 607,3896 607,3896 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-25 1 1 609,4579 609,4579 609,4579 609,4579 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-28 1 1 609,6775 609,6775 609,6775 609,6775 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-29 1 1 609,3605 609,3605 609,3605 609,3605 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-11-30 1 1 604,738 604,738 604,738 604,738 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-01 1 1 610,2142 610,2142 610,2142 610,2142 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-02 1 1 615,1558 615,1558 615,1558 615,1558 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-05 1 1 615,1216 615,1216 615,1216 615,1216 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-06 1 1 617,871 617,871 617,871 617,871 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-07 1 1 619,2929 619,2929 619,2929 619,2929 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-08 1 1 619,1941 619,1941 619,1941 619,1941 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-12 1 1 619,0765 619,0765 619,0765 619,0765 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-13 1 1 618,8399 618,8399 618,8399 618,8399 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-14 1 1 617,0854 617,0854 617,0854 617,0854 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-15 1 1 618,1903 618,1903 618,1903 618,1903 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-16 1 1 620,4688 620,4688 620,4688 620,4688 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-19 1 1 623,2325 623,2325 623,2325 623,2325 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-20 1 1 622,8422 622,8422 622,8422 622,8422 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-21 1 1 626,1743 626,1743 626,1743 626,1743 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-22 1 1 629,1945 629,1945 629,1945 629,1945 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-23 1 1 636,5953 636,5953 636,5953 636,5953 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-27 1 1 639,8664 639,8664 639,8664 639,8664 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-28 1 1 636,7432 636,7432 636,7432 636,7432 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-29 1 1 641,3225 641,3225 641,3225 641,3225 357483 HQ Fonder Sverige Aktiebolag HQ Strategifond SEK 2005-12-30 1 1 642,223 642,223 642,223 642,223 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-03 1 1 775,6892 775,6892 775,6892 775,6892 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-04 1 1 776,1095 776,1095 776,1095 776,1095 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-05 1 1 771,4735 771,4735 771,4735 771,4735 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-07 1 1 773,8574 773,8574 773,8574 773,8574 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-10 1 1 781,5942 781,5942 781,5942 781,5942 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-11 1 1 778,3584 778,3584 778,3584 778,3584 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-12 1 1 767,0256 767,0256 767,0256 767,0256 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-13 1 1 768,4191 768,4191 768,4191 768,4191 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-14 1 1 771,5703 771,5703 771,5703 771,5703 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-17 1 1 774,6717 774,6717 774,6717 774,6717 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-18 1 1 773,7466 773,7466 773,7466 773,7466 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-19 1 1 777,9402 777,9402 777,9402 777,9402 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-20 1 1 773,395 773,395 773,395 773,395 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-21 1 1 772,5409 772,5409 772,5409 772,5409 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-24 1 1 769,4066 769,4066 769,4066 769,4066 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-25 1 1 777,6255 777,6255 777,6255 777,6255 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-26 1 1 777,4613 777,4613 777,4613 777,4613 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-27 1 1 774,2681 774,2681 774,2681 774,2681 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-28 1 1 773,0749 773,0749 773,0749 773,0749 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-01-31 1 1 775,1589 775,1589 775,1589 775,1589 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-01 1 1 780,0798 780,0798 780,0798 780,0798 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-02 1 1 782,9222 782,9222 782,9222 782,9222 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-03 1 1 783,034 783,034 783,034 783,034 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-04 1 1 785,34 785,34 785,34 785,34 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-07 1 1 789,8682 789,8682 789,8682 789,8682 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-08 1 1 793,9455 793,9455 793,9455 793,9455 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-09 1 1 795,3351 795,3351 795,3351 795,3351 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-10 1 1 792,459 792,459 792,459 792,459 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-11 1 1 795,5601 795,5601 795,5601 795,5601 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-14 1 1 799,2594 799,2594 799,2594 799,2594 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-15 1 1 806,9986 806,9986 806,9986 806,9986 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-16 1 1 798,3588 798,3588 798,3588 798,3588 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-17 1 1 801,5843 801,5843 801,5843 801,5843 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-18 1 1 801,6505 801,6505 801,6505 801,6505 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-21 1 1 805,0214 805,0214 805,0214 805,0214 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-22 1 1 801,9373 801,9373 801,9373 801,9373 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-23 1 1 801,1161 801,1161 801,1161 801,1161 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-24 1 1 802,9565 802,9565 802,9565 802,9565 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-25 1 1 807,5883 807,5883 807,5883 807,5883 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-02-28 1 1 809,7895 809,7895 809,7895 809,7895 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-01 1 1 812,3923 812,3923 812,3923 812,3923 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-02 1 1 813,8286 813,8286 813,8286 813,8286 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-03 1 1 815,0968 815,0968 815,0968 815,0968 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-04 1 1 820,2896 820,2896 820,2896 820,2896 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-07 1 1 819,7297 819,7297 819,7297 819,7297 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-08 1 1 815,6432 815,6432 815,6432 815,6432 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-09 1 1 814,9951 814,9951 814,9951 814,9951 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-10 1 1 809,1782 809,1782 809,1782 809,1782 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-11 1 1 786,0502 786,0502 786,0502 786,0502 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-14 1 1 786,2879 786,2879 786,2879 786,2879 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-15 1 1 790,7444 790,7444 790,7444 790,7444 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-16 1 1 785,9731 785,9731 785,9731 785,9731 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-17 1 1 785,1639 785,1639 785,1639 785,1639 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-18 1 1 783,4809 783,4809 783,4809 783,4809 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-21 1 1 783,8574 783,8574 783,8574 783,8574 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-22 1 1 786,5485 786,5485 786,5485 786,5485 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-23 1 1 784,7185 784,7185 784,7185 784,7185 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-24 1 1 790,911 790,911 790,911 790,911 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-29 1 1 785,5412 785,5412 785,5412 785,5412 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-30 1 1 781,6906 781,6906 781,6906 781,6906 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-03-31 1 1 790,6171 790,6171 790,6171 790,6171 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-01 1 1 794,352 794,352 794,352 794,352 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-04 1 1 791,8304 791,8304 791,8304 791,8304 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-05 1 1 799,5469 799,5469 799,5469 799,5469 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-06 1 1 805,5708 805,5708 805,5708 805,5708 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-07 1 1 807,8423 807,8423 807,8423 807,8423 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-08 1 1 809,0861 809,0861 809,0861 809,0861 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-11 1 1 809,1658 809,1658 809,1658 809,1658 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-12 1 1 806,3158 806,3158 806,3158 806,3158 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-13 1 1 811,3971 811,3971 811,3971 811,3971 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-14 1 1 810,5724 810,5724 810,5724 810,5724 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-15 1 1 805,6855 805,6855 805,6855 805,6855 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-18 1 1 790,9024 790,9024 790,9024 790,9024 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-19 1 1 796,1649 796,1649 796,1649 796,1649 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-20 1 1 797,9342 797,9342 797,9342 797,9342 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-21 1 1 794,8136 794,8136 794,8136 794,8136 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-22 1 1 799,169 799,169 799,169 799,169 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-25 1 1 799,221 799,221 799,221 799,221 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-26 1 1 796,1978 796,1978 796,1978 796,1978 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-27 1 1 777,5449 777,5449 777,5449 777,5449 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-28 1 1 770,796 770,796 770,796 770,796 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-04-29 1 1 771,3455 771,3455 771,3455 771,3455 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-02 1 1 778,8387 778,8387 778,8387 778,8387 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-03 1 1 775,4373 775,4373 775,4373 775,4373 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-04 1 1 775,816 775,816 775,816 775,816 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-06 1 1 783,5172 783,5172 783,5172 783,5172 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-09 1 1 782,5452 782,5452 782,5452 782,5452 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-10 1 1 779,032 779,032 779,032 779,032 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-11 1 1 778,8643 778,8643 778,8643 778,8643 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-12 1 1 784,1805 784,1805 784,1805 784,1805 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-13 1 1 782,488 782,488 782,488 782,488 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-16 1 1 785,6575 785,6575 785,6575 785,6575 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-17 1 1 787,2614 787,2614 787,2614 787,2614 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-18 1 1 793,8207 793,8207 793,8207 793,8207 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-19 1 1 797,5315 797,5315 797,5315 797,5315 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-20 1 1 798,5283 798,5283 798,5283 798,5283 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-23 1 1 799,7477 799,7477 799,7477 799,7477 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-24 1 1 803,0387 803,0387 803,0387 803,0387 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-25 1 1 802,8074 802,8074 802,8074 802,8074 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-26 1 1 806,4797 806,4797 806,4797 806,4797 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-27 1 1 807,8001 807,8001 807,8001 807,8001 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-30 1 1 810,3884 810,3884 810,3884 810,3884 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-05-31 1 1 810,8203 810,8203 810,8203 810,8203 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-01 1 1 810,2729 810,2729 810,2729 810,2729 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-02 1 1 807,0785 807,0785 807,0785 807,0785 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-03 1 1 804,7656 804,7656 804,7656 804,7656 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-07 1 1 809,8761 809,8761 809,8761 809,8761 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-08 1 1 811,9653 811,9653 811,9653 811,9653 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-09 1 1 811,969 811,969 811,969 811,969 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-10 1 1 815,9747 815,9747 815,9747 815,9747 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-13 1 1 820,7673 820,7673 820,7673 820,7673 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-14 1 1 823,1219 823,1219 823,1219 823,1219 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-15 1 1 821,1215 821,1215 821,1215 821,1215 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-16 1 1 823,0521 823,0521 823,0521 823,0521 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-17 1 1 825,8853 825,8853 825,8853 825,8853 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-20 1 1 822,596 822,596 822,596 822,596 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-21 1 1 826,2398 826,2398 826,2398 826,2398 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-22 1 1 830,7619 830,7619 830,7619 830,7619 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-23 1 1 831,79 831,79 831,79 831,79 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-27 1 1 822,8852 822,8852 822,8852 822,8852 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-28 1 1 826,5886 826,5886 826,5886 826,5886 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-29 1 1 832,9599 832,9599 832,9599 832,9599 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-06-30 1 1 833,3727 833,3727 833,3727 833,3727 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-01 1 1 835,0823 835,0823 835,0823 835,0823 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-04 1 1 838,537 838,537 838,537 838,537 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-05 1 1 840,7097 840,7097 840,7097 840,7097 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-06 1 1 842,8323 842,8323 842,8323 842,8323 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-07 1 1 831,9882 831,9882 831,9882 831,9882 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-08 1 1 840,7457 840,7457 840,7457 840,7457 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-11 1 1 852,4849 852,4849 852,4849 852,4849 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-12 1 1 853,7954 853,7954 853,7954 853,7954 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-13 1 1 859,9535 859,9535 859,9535 859,9535 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-14 1 1 860,3498 860,3498 860,3498 860,3498 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-15 1 1 859,2586 859,2586 859,2586 859,2586 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-18 1 1 859,3088 859,3088 859,3088 859,3088 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-19 1 1 862,9304 862,9304 862,9304 862,9304 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-20 1 1 861,0175 861,0175 861,0175 861,0175 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-21 1 1 866,3295 866,3295 866,3295 866,3295 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-22 1 1 869,1205 869,1205 869,1205 869,1205 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-25 1 1 866,8119 866,8119 866,8119 866,8119 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-26 1 1 868,2723 868,2723 868,2723 868,2723 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-27 1 1 873,0169 873,0169 873,0169 873,0169 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-28 1 1 877,8367 877,8367 877,8367 877,8367 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-07-29 1 1 878,0726 878,0726 878,0726 878,0726 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-01 1 1 879,853 879,853 879,853 879,853 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-02 1 1 883,3194 883,3194 883,3194 883,3194 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-03 1 1 884,4653 884,4653 884,4653 884,4653 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-04 1 1 880,9366 880,9366 880,9366 880,9366 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-05 1 1 880,1761 880,1761 880,1761 880,1761 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-08 1 1 880,7829 880,7829 880,7829 880,7829 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-09 1 1 885,7107 885,7107 885,7107 885,7107 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-10 1 1 888,0213 888,0213 888,0213 888,0213 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-11 1 1 883,7822 883,7822 883,7822 883,7822 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-12 1 1 880,727 880,727 880,727 880,727 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-15 1 1 878,1469 878,1469 878,1469 878,1469 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-16 1 1 879,2512 879,2512 879,2512 879,2512 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-17 1 1 879,7921 879,7921 879,7921 879,7921 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-18 1 1 880,7071 880,7071 880,7071 880,7071 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-19 1 1 884,411 884,411 884,411 884,411 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-22 1 1 889,4312 889,4312 889,4312 889,4312 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-23 1 1 884,7345 884,7345 884,7345 884,7345 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-24 1 1 873,3008 873,3008 873,3008 873,3008 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-25 1 1 864,4967 864,4967 864,4967 864,4967 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-26 1 1 857,2207 857,2207 857,2207 857,2207 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-29 1 1 859,7805 859,7805 859,7805 859,7805 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-30 1 1 861,0853 861,0853 861,0853 861,0853 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-08-31 1 1 863,6612 863,6612 863,6612 863,6612 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-01 1 1 867,1847 867,1847 867,1847 867,1847 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-02 1 1 866,941 866,941 866,941 866,941 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-05 1 1 872,2324 872,2324 872,2324 872,2324 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-06 1 1 878,6772 878,6772 878,6772 878,6772 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-07 1 1 881,2898 881,2898 881,2898 881,2898 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-08 1 1 879,1022 879,1022 879,1022 879,1022 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-09 1 1 882,8632 882,8632 882,8632 882,8632 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-12 1 1 883,7001 883,7001 883,7001 883,7001 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-13 1 1 884,9269 884,9269 884,9269 884,9269 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-14 1 1 886,444 886,444 886,444 886,444 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-15 1 1 881,641 881,641 881,641 881,641 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-16 1 1 884,4752 884,4752 884,4752 884,4752 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-19 1 1 885,0745 885,0745 885,0745 885,0745 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-20 1 1 882,4863 882,4863 882,4863 882,4863 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-21 1 1 877,3353 877,3353 877,3353 877,3353 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-22 1 1 877,7229 877,7229 877,7229 877,7229 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-23 1 1 880,4594 880,4594 880,4594 880,4594 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-26 1 1 889,9903 889,9903 889,9903 889,9903 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-27 1 1 893,1391 893,1391 893,1391 893,1391 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-28 1 1 899,1926 899,1926 899,1926 899,1926 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-29 1 1 901,4438 901,4438 901,4438 901,4438 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-09-30 1 1 908,7431 908,7431 908,7431 908,7431 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-03 1 1 912,0276 912,0276 912,0276 912,0276 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-04 1 1 910,0103 910,0103 910,0103 910,0103 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-05 1 1 903,8191 903,8191 903,8191 903,8191 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-06 1 1 896,1293 896,1293 896,1293 896,1293 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-07 1 1 896,6281 896,6281 896,6281 896,6281 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-10 1 1 901,3639 901,3639 901,3639 901,3639 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-11 1 1 902,1871 902,1871 902,1871 902,1871 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-12 1 1 896,265 896,265 896,265 896,265 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-13 1 1 886,6747 886,6747 886,6747 886,6747 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-14 1 1 886,6683 886,6683 886,6683 886,6683 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-17 1 1 885,0626 885,0626 885,0626 885,0626 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-18 1 1 882,7641 882,7641 882,7641 882,7641 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-19 1 1 873,8906 873,8906 873,8906 873,8906 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-20 1 1 874,5317 874,5317 874,5317 874,5317 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-21 1 1 867,7976 867,7976 867,7976 867,7976 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-24 1 1 874,5577 874,5577 874,5577 874,5577 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-25 1 1 878,7025 878,7025 878,7025 878,7025 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-26 1 1 887,1255 887,1255 887,1255 887,1255 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-27 1 1 877,8204 877,8204 877,8204 877,8204 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-28 1 1 876,9673 876,9673 876,9673 876,9673 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-10-31 1 1 894,9725 894,9725 894,9725 894,9725 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-01 1 1 897,5467 897,5467 897,5467 897,5467 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-02 1 1 901,0297 901,0297 901,0297 901,0297 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-03 1 1 907,3822 907,3822 907,3822 907,3822 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-04 1 1 907,1578 907,1578 907,1578 907,1578 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-07 1 1 912,0083 912,0083 912,0083 912,0083 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-08 1 1 913,0815 913,0815 913,0815 913,0815 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-09 1 1 913,7467 913,7467 913,7467 913,7467 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-10 1 1 912,276 912,276 912,276 912,276 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-11 1 1 919,2843 919,2843 919,2843 919,2843 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-14 1 1 921,3864 921,3864 921,3864 921,3864 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-15 1 1 920,8696 920,8696 920,8696 920,8696 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-16 1 1 920,1847 920,1847 920,1847 920,1847 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-17 1 1 921,5621 921,5621 921,5621 921,5621 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-18 1 1 924,447 924,447 924,447 924,447 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-21 1 1 927,0571 927,0571 927,0571 927,0571 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-22 1 1 926,9146 926,9146 926,9146 926,9146 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-23 1 1 929,6919 929,6919 929,6919 929,6919 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-24 1 1 926,8043 926,8043 926,8043 926,8043 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-25 1 1 929,9363 929,9363 929,9363 929,9363 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-28 1 1 931,8587 931,8587 931,8587 931,8587 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-29 1 1 931,1892 931,1892 931,1892 931,1892 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-11-30 1 1 925,6495 925,6495 925,6495 925,6495 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-01 1 1 934,6663 934,6663 934,6663 934,6663 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-02 1 1 941,3725 941,3725 941,3725 941,3725 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-05 1 1 938,4018 938,4018 938,4018 938,4018 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-06 1 1 941,8439 941,8439 941,8439 941,8439 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-07 1 1 944,9682 944,9682 944,9682 944,9682 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-08 1 1 945,4261 945,4261 945,4261 945,4261 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-12 1 1 950,3773 950,3773 950,3773 950,3773 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-13 1 1 947,5016 947,5016 947,5016 947,5016 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-14 1 1 946,4263 946,4263 946,4263 946,4263 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-15 1 1 945,7019 945,7019 945,7019 945,7019 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-16 1 1 951,7023 951,7023 951,7023 951,7023 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-19 1 1 956,4675 956,4675 956,4675 956,4675 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-20 1 1 955,913 955,913 955,913 955,913 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-21 1 1 960,0998 960,0998 960,0998 960,0998 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-22 1 1 965,964 965,964 965,964 965,964 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-23 1 1 976,0774 976,0774 976,0774 976,0774 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-27 1 1 981,2659 981,2659 981,2659 981,2659 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-28 1 1 978,8162 978,8162 978,8162 978,8162 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-29 1 1 983,5847 983,5847 983,5847 983,5847 393314 HQ Fonder Sverige Aktiebolag HQ Sverigefond SEK 2005-12-30 1 1 982,6456 982,6456 982,6456 982,6456 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-03 1 1 12,8433 12,8433 12,8433 12,8433 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-04 1 1 13,0696 13,0696 13,0696 13,0696 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-05 1 1 13,0079 13,0079 13,0079 13,0079 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-07 1 1 13,074 13,074 13,074 13,074 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-10 1 1 13,1861 13,1861 13,1861 13,1861 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-11 1 1 13,2343 13,2343 13,2343 13,2343 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-12 1 1 13,1563 13,1563 13,1563 13,1563 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-13 1 1 13,1963 13,1963 13,1963 13,1963 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-14 1 1 13,3205 13,3205 13,3205 13,3205 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-17 1 1 13,4959 13,4959 13,4959 13,4959 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-18 1 1 13,4434 13,4434 13,4434 13,4434 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-19 1 1 13,3836 13,3836 13,3836 13,3836 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-20 1 1 13,3714 13,3714 13,3714 13,3714 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-21 1 1 13,3616 13,3616 13,3616 13,3616 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-24 1 1 13,3679 13,3679 13,3679 13,3679 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-25 1 1 13,4852 13,4852 13,4852 13,4852 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-26 1 1 13,5749 13,5749 13,5749 13,5749 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-27 1 1 13,5708 13,5708 13,5708 13,5708 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-28 1 1 13,6025 13,6025 13,6025 13,6025 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-01-31 1 1 13,7408 13,7408 13,7408 13,7408 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-01 1 1 13,7348 13,7348 13,7348 13,7348 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-02 1 1 13,7739 13,7739 13,7739 13,7739 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-03 1 1 13,9253 13,9253 13,9253 13,9253 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-04 1 1 13,9936 13,9936 13,9936 13,9936 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-07 1 1 14,2052 14,2052 14,2052 14,2052 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-08 1 1 14,2532 14,2532 14,2532 14,2532 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-09 1 1 14,1354 14,1354 14,1354 14,1354 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-10 1 1 14,0384 14,0384 14,0384 14,0384 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-11 1 1 14,074 14,074 14,074 14,074 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-14 1 1 14,1979 14,1979 14,1979 14,1979 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-15 1 1 14,2206 14,2206 14,2206 14,2206 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-16 1 1 14,1459 14,1459 14,1459 14,1459 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-17 1 1 14,0802 14,0802 14,0802 14,0802 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-18 1 1 14,1645 14,1645 14,1645 14,1645 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-21 1 1 14,2629 14,2629 14,2629 14,2629 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-22 1 1 14,1713 14,1713 14,1713 14,1713 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-23 1 1 14,1219 14,1219 14,1219 14,1219 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-24 1 1 14,1217 14,1217 14,1217 14,1217 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-25 1 1 14,3389 14,3389 14,3389 14,3389 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-02-28 1 1 14,4104 14,4104 14,4104 14,4104 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-01 1 1 14,3856 14,3856 14,3856 14,3856 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-02 1 1 14,3998 14,3998 14,3998 14,3998 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-03 1 1 14,3897 14,3897 14,3897 14,3897 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-04 1 1 14,3331 14,3331 14,3331 14,3331 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-07 1 1 14,3944 14,3944 14,3944 14,3944 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-08 1 1 14,2615 14,2615 14,2615 14,2615 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-09 1 1 14,3051 14,3051 14,3051 14,3051 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-10 1 1 14,1522 14,1522 14,1522 14,1522 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-11 1 1 13,7787 13,7787 13,7787 13,7787 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-14 1 1 13,7001 13,7001 13,7001 13,7001 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-15 1 1 13,5265 13,5265 13,5265 13,5265 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-16 1 1 13,3376 13,3376 13,3376 13,3376 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-17 1 1 13,3233 13,3233 13,3233 13,3233 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-18 1 1 13,4627 13,4627 13,4627 13,4627 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-21 1 1 13,4747 13,4747 13,4747 13,4747 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-22 1 1 13,4643 13,4643 13,4643 13,4643 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-23 1 1 13,3178 13,3178 13,3178 13,3178 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-24 1 1 13,3299 13,3299 13,3299 13,3299 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-29 1 1 13,2969 13,2969 13,2969 13,2969 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-30 1 1 13,1705 13,1705 13,1705 13,1705 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-03-31 1 1 13,4257 13,4257 13,4257 13,4257 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-01 1 1 13,6546 13,6546 13,6546 13,6546 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-04 1 1 13,6741 13,6741 13,6741 13,6741 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-05 1 1 13,7217 13,7217 13,7217 13,7217 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-06 1 1 13,7862 13,7862 13,7862 13,7862 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-07 1 1 13,7474 13,7474 13,7474 13,7474 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-08 1 1 13,8805 13,8805 13,8805 13,8805 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-11 1 1 13,7003 13,7003 13,7003 13,7003 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-12 1 1 13,7619 13,7619 13,7619 13,7619 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-13 1 1 13,7771 13,7771 13,7771 13,7771 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-14 1 1 13,6579 13,6579 13,6579 13,6579 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-15 1 1 13,4448 13,4448 13,4448 13,4448 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-18 1 1 13,1167 13,1167 13,1167 13,1167 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-19 1 1 13,3053 13,3053 13,3053 13,3053 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-20 1 1 13,2722 13,2722 13,2722 13,2722 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-21 1 1 13,2204 13,2204 13,2204 13,2204 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-22 1 1 13,2409 13,2409 13,2409 13,2409 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-25 1 1 13,3265 13,3265 13,3265 13,3265 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-26 1 1 13,314 13,314 13,314 13,314 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-27 1 1 13,1939 13,1939 13,1939 13,1939 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-28 1 1 13,0918 13,0918 13,0918 13,0918 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-04-29 1 1 13,1878 13,1878 13,1878 13,1878 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-02 1 1 13,2985 13,2985 13,2985 13,2985 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-03 1 1 13,3302 13,3302 13,3302 13,3302 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-04 1 1 13,3693 13,3693 13,3693 13,3693 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-06 1 1 13,6239 13,6239 13,6239 13,6239 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-09 1 1 13,6072 13,6072 13,6072 13,6072 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-10 1 1 13,5396 13,5396 13,5396 13,5396 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-11 1 1 13,5314 13,5314 13,5314 13,5314 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-12 1 1 13,571 13,571 13,571 13,571 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-13 1 1 13,6047 13,6047 13,6047 13,6047 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-16 1 1 13,6109 13,6109 13,6109 13,6109 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-17 1 1 13,6295 13,6295 13,6295 13,6295 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-18 1 1 13,7157 13,7157 13,7157 13,7157 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-19 1 1 13,8077 13,8077 13,8077 13,8077 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-20 1 1 13,8244 13,8244 13,8244 13,8244 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-23 1 1 13,7841 13,7841 13,7841 13,7841 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-24 1 1 13,8142 13,8142 13,8142 13,8142 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-25 1 1 13,7645 13,7645 13,7645 13,7645 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-26 1 1 13,9398 13,9398 13,9398 13,9398 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-27 1 1 14,053 14,053 14,053 14,053 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-30 1 1 14,1546 14,1546 14,1546 14,1546 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-05-31 1 1 14,212 14,212 14,212 14,212 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-01 1 1 14,3696 14,3696 14,3696 14,3696 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-02 1 1 14,4985 14,4985 14,4985 14,4985 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-03 1 1 14,5245 14,5245 14,5245 14,5245 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-07 1 1 14,5148 14,5148 14,5148 14,5148 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-08 1 1 14,5876 14,5876 14,5876 14,5876 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-09 1 1 14,6777 14,6777 14,6777 14,6777 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-10 1 1 14,899 14,899 14,899 14,899 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-13 1 1 15,1234 15,1234 15,1234 15,1234 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-14 1 1 15,1521 15,1521 15,1521 15,1521 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-15 1 1 15,1608 15,1608 15,1608 15,1608 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-16 1 1 15,2825 15,2825 15,2825 15,2825 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-17 1 1 15,2458 15,2458 15,2458 15,2458 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-20 1 1 15,0907 15,0907 15,0907 15,0907 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-21 1 1 15,0436 15,0436 15,0436 15,0436 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-22 1 1 15,2089 15,2089 15,2089 15,2089 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-23 1 1 15,4348 15,4348 15,4348 15,4348 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-27 1 1 15,0808 15,0808 15,0808 15,0808 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-28 1 1 15,2762 15,2762 15,2762 15,2762 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-29 1 1 15,3985 15,3985 15,3985 15,3985 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-06-30 1 1 15,3624 15,3624 15,3624 15,3624 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-01 1 1 15,5244 15,5244 15,5244 15,5244 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-04 1 1 15,6562 15,6562 15,6562 15,6562 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-05 1 1 15,4779 15,4779 15,4779 15,4779 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-06 1 1 15,4989 15,4989 15,4989 15,4989 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-07 1 1 15,4926 15,4926 15,4926 15,4926 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-08 1 1 15,5186 15,5186 15,5186 15,5186 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-11 1 1 15,797 15,797 15,797 15,797 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-12 1 1 15,741 15,741 15,741 15,741 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-13 1 1 15,7899 15,7899 15,7899 15,7899 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-14 1 1 15,9482 15,9482 15,9482 15,9482 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-15 1 1 15,828 15,828 15,828 15,828 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-18 1 1 15,7969 15,7969 15,7969 15,7969 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-19 1 1 15,9961 15,9961 15,9961 15,9961 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-20 1 1 15,9918 15,9918 15,9918 15,9918 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-21 1 1 16,0754 16,0754 16,0754 16,0754 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-22 1 1 16,1737 16,1737 16,1737 16,1737 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-25 1 1 16,2039 16,2039 16,2039 16,2039 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-26 1 1 16,2125 16,2125 16,2125 16,2125 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-27 1 1 16,2292 16,2292 16,2292 16,2292 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-28 1 1 16,2875 16,2875 16,2875 16,2875 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-07-29 1 1 16,3312 16,3312 16,3312 16,3312 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-01 1 1 16,2654 16,2654 16,2654 16,2654 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-02 1 1 16,3659 16,3659 16,3659 16,3659 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-03 1 1 16,3793 16,3793 16,3793 16,3793 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-04 1 1 16,2737 16,2737 16,2737 16,2737 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-05 1 1 16,1681 16,1681 16,1681 16,1681 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-08 1 1 16,1358 16,1358 16,1358 16,1358 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-09 1 1 16,2516 16,2516 16,2516 16,2516 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-10 1 1 16,4593 16,4593 16,4593 16,4593 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-11 1 1 16,4185 16,4185 16,4185 16,4185 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-12 1 1 16,2832 16,2832 16,2832 16,2832 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-15 1 1 16,4075 16,4075 16,4075 16,4075 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-16 1 1 16,4824 16,4824 16,4824 16,4824 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-17 1 1 16,4769 16,4769 16,4769 16,4769 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-18 1 1 16,4374 16,4374 16,4374 16,4374 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-19 1 1 16,4627 16,4627 16,4627 16,4627 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-22 1 1 16,7204 16,7204 16,7204 16,7204 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-23 1 1 16,6967 16,6967 16,6967 16,6967 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-24 1 1 16,4153 16,4153 16,4153 16,4153 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-25 1 1 16,3987 16,3987 16,3987 16,3987 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-26 1 1 16,302 16,302 16,302 16,302 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-29 1 1 16,212 16,212 16,212 16,212 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-30 1 1 16,4274 16,4274 16,4274 16,4274 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-08-31 1 1 16,4863 16,4863 16,4863 16,4863 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-01 1 1 16,5747 16,5747 16,5747 16,5747 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-02 1 1 16,5501 16,5501 16,5501 16,5501 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-05 1 1 16,5826 16,5826 16,5826 16,5826 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-06 1 1 16,6863 16,6863 16,6863 16,6863 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-07 1 1 16,8076 16,8076 16,8076 16,8076 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-08 1 1 16,913 16,913 16,913 16,913 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-09 1 1 17,0137 17,0137 17,0137 17,0137 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-12 1 1 17,1365 17,1365 17,1365 17,1365 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-13 1 1 17,2428 17,2428 17,2428 17,2428 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-14 1 1 17,2201 17,2201 17,2201 17,2201 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-15 1 1 17,47 17,47 17,47 17,47 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-16 1 1 17,5188 17,5188 17,5188 17,5188 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-19 1 1 17,6696 17,6696 17,6696 17,6696 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-20 1 1 17,797 17,797 17,797 17,797 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-21 1 1 17,7963 17,7963 17,7963 17,7963 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-22 1 1 17,8808 17,8808 17,8808 17,8808 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-23 1 1 17,8583 17,8583 17,8583 17,8583 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-26 1 1 18,004 18,004 18,004 18,004 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-27 1 1 18,1921 18,1921 18,1921 18,1921 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-28 1 1 18,3226 18,3226 18,3226 18,3226 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-29 1 1 18,3047 18,3047 18,3047 18,3047 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-09-30 1 1 18,3009 18,3009 18,3009 18,3009 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-03 1 1 18,5204 18,5204 18,5204 18,5204 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-04 1 1 18,7198 18,7198 18,7198 18,7198 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-05 1 1 18,4016 18,4016 18,4016 18,4016 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-06 1 1 17,6344 17,6344 17,6344 17,6344 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-07 1 1 17,643 17,643 17,643 17,643 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-10 1 1 17,9007 17,9007 17,9007 17,9007 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-11 1 1 18,093 18,093 18,093 18,093 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-12 1 1 17,8958 17,8958 17,8958 17,8958 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-13 1 1 17,5763 17,5763 17,5763 17,5763 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-14 1 1 17,5098 17,5098 17,5098 17,5098 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-17 1 1 17,4581 17,4581 17,4581 17,4581 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-18 1 1 17,5804 17,5804 17,5804 17,5804 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-19 1 1 17,1003 17,1003 17,1003 17,1003 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-20 1 1 17,341 17,341 17,341 17,341 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-21 1 1 17,2819 17,2819 17,2819 17,2819 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-24 1 1 17,6504 17,6504 17,6504 17,6504 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-25 1 1 17,4284 17,4284 17,4284 17,4284 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-26 1 1 17,3588 17,3588 17,3588 17,3588 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-27 1 1 17,2464 17,2464 17,2464 17,2464 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-28 1 1 17,0774 17,0774 17,0774 17,0774 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-10-31 1 1 17,4884 17,4884 17,4884 17,4884 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-01 1 1 18,019 18,019 18,019 18,019 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-02 1 1 18,2771 18,2771 18,2771 18,2771 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-03 1 1 18,4709 18,4709 18,4709 18,4709 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-04 1 1 18,5031 18,5031 18,5031 18,5031 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-07 1 1 18,7328 18,7328 18,7328 18,7328 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-08 1 1 18,6443 18,6443 18,6443 18,6443 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-09 1 1 18,8502 18,8502 18,8502 18,8502 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-10 1 1 18,8878 18,8878 18,8878 18,8878 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-11 1 1 19,0511 19,0511 19,0511 19,0511 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-14 1 1 18,9934 18,9934 18,9934 18,9934 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-15 1 1 19,1057 19,1057 19,1057 19,1057 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-16 1 1 19,1445 19,1445 19,1445 19,1445 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-17 1 1 19,2693 19,2693 19,2693 19,2693 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-18 1 1 19,2572 19,2572 19,2572 19,2572 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-21 1 1 19,1336 19,1336 19,1336 19,1336 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-22 1 1 18,9816 18,9816 18,9816 18,9816 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-23 1 1 19,1312 19,1312 19,1312 19,1312 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-24 1 1 19,2132 19,2132 19,2132 19,2132 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-25 1 1 19,1777 19,1777 19,1777 19,1777 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-28 1 1 19,2784 19,2784 19,2784 19,2784 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-29 1 1 19,1509 19,1509 19,1509 19,1509 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-11-30 1 1 19,2295 19,2295 19,2295 19,2295 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-01 1 1 19,3843 19,3843 19,3843 19,3843 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-02 1 1 19,5392 19,5392 19,5392 19,5392 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-05 1 1 19,503 19,503 19,503 19,503 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-06 1 1 19,5766 19,5766 19,5766 19,5766 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-07 1 1 19,843 19,843 19,843 19,843 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-08 1 1 19,6421 19,6421 19,6421 19,6421 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-12 1 1 19,5995 19,5995 19,5995 19,5995 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-13 1 1 19,7515 19,7515 19,7515 19,7515 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-14 1 1 19,6414 19,6414 19,6414 19,6414 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-15 1 1 19,7637 19,7637 19,7637 19,7637 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-16 1 1 19,7882 19,7882 19,7882 19,7882 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-19 1 1 19,9227 19,9227 19,9227 19,9227 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-20 1 1 19,879 19,879 19,879 19,879 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-21 1 1 20,2747 20,2747 20,2747 20,2747 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-22 1 1 20,3619 20,3619 20,3619 20,3619 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-23 1 1 20,5452 20,5452 20,5452 20,5452 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-27 1 1 20,6255 20,6255 20,6255 20,6255 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-28 1 1 20,348 20,348 20,348 20,348 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-29 1 1 20,7202 20,7202 20,7202 20,7202 285825 HQ Fonder Sverige Aktiebolag HQ Tillväxtmarknadsfond SEK 2005-12-30 1 1 20,7089 20,7089 20,7089 20,7089 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-03 1 1 177,351 177,351 177,351 177,351 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-04 1 1 178,0143 178,0143 178,0143 178,0143 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-05 1 1 178,0228 178,0228 178,0228 178,0228 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-07 1 1 178,1465 178,1465 178,1465 178,1465 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-10 1 1 179,0308 179,0308 179,0308 179,0308 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-11 1 1 178,0662 178,0662 178,0662 178,0662 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-12 1 1 177,214 177,214 177,214 177,214 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-13 1 1 177,1341 177,1341 177,1341 177,1341 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-14 1 1 178,2892 178,2892 178,2892 178,2892 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-17 1 1 178,7705 178,7705 178,7705 178,7705 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-18 1 1 178,4664 178,4664 178,4664 178,4664 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-19 1 1 178,821 178,821 178,821 178,821 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-20 1 1 178,6243 178,6243 178,6243 178,6243 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-21 1 1 178,701 178,701 178,701 178,701 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-24 1 1 177,8549 177,8549 177,8549 177,8549 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-25 1 1 178,7685 178,7685 178,7685 178,7685 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-26 1 1 179,7045 179,7045 179,7045 179,7045 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-27 1 1 179,1012 179,1012 179,1012 179,1012 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-28 1 1 179,7666 179,7666 179,7666 179,7666 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-01-31 1 1 180,7614 180,7614 180,7614 180,7614 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-01 1 1 181,6584 181,6584 181,6584 181,6584 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-02 1 1 181,6754 181,6754 181,6754 181,6754 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-03 1 1 182,141 182,141 182,141 182,141 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-04 1 1 183,0982 183,0982 183,0982 183,0982 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-07 1 1 185,0613 185,0613 185,0613 185,0613 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-08 1 1 185,5823 185,5823 185,5823 185,5823 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-09 1 1 184,5858 184,5858 184,5858 184,5858 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-10 1 1 184,1372 184,1372 184,1372 184,1372 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-11 1 1 183,8289 183,8289 183,8289 183,8289 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-14 1 1 184,2208 184,2208 184,2208 184,2208 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-15 1 1 183,8673 183,8673 183,8673 183,8673 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-16 1 1 183,0237 183,0237 183,0237 183,0237 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-17 1 1 183,7126 183,7126 183,7126 183,7126 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-18 1 1 183,2027 183,2027 183,2027 183,2027 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-21 1 1 183,4294 183,4294 183,4294 183,4294 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-22 1 1 181,5104 181,5104 181,5104 181,5104 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-23 1 1 180,2325 180,2325 180,2325 180,2325 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-24 1 1 178,8926 178,8926 178,8926 178,8926 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-25 1 1 181,0933 181,0933 181,0933 181,0933 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-02-28 1 1 181,5282 181,5282 181,5282 181,5282 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-01 1 1 181,7998 181,7998 181,7998 181,7998 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-02 1 1 182,5705 182,5705 182,5705 182,5705 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-03 1 1 182,0316 182,0316 182,0316 182,0316 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-04 1 1 182,0317 182,0317 182,0317 182,0317 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-07 1 1 181,775 181,775 181,775 181,775 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-08 1 1 180,6922 180,6922 180,6922 180,6922 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-09 1 1 179,6909 179,6909 179,6909 179,6909 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-10 1 1 178,1547 178,1547 178,1547 178,1547 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-11 1 1 173,8674 173,8674 173,8674 173,8674 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-14 1 1 173,6197 173,6197 173,6197 173,6197 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-15 1 1 175,209 175,209 175,209 175,209 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-16 1 1 173,3947 173,3947 173,3947 173,3947 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-17 1 1 173,6772 173,6772 173,6772 173,6772 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-18 1 1 174,7219 174,7219 174,7219 174,7219 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-21 1 1 175,0783 175,0783 175,0783 175,0783 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-22 1 1 175,2083 175,2083 175,2083 175,2083 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-23 1 1 174,3616 174,3616 174,3616 174,3616 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-24 1 1 174,9299 174,9299 174,9299 174,9299 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-29 1 1 175,1999 175,1999 175,1999 175,1999 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-30 1 1 173,8157 173,8157 173,8157 173,8157 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-03-31 1 1 175,5777 175,5777 175,5777 175,5777 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-01 1 1 176,7892 176,7892 176,7892 176,7892 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-04 1 1 176,6727 176,6727 176,6727 176,6727 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-05 1 1 178,3337 178,3337 178,3337 178,3337 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-06 1 1 178,1924 178,1924 178,1924 178,1924 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-07 1 1 177,6981 177,6981 177,6981 177,6981 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-08 1 1 179,1718 179,1718 179,1718 179,1718 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-11 1 1 176,6649 176,6649 176,6649 176,6649 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-12 1 1 176,3629 176,3629 176,3629 176,3629 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-13 1 1 177,4433 177,4433 177,4433 177,4433 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-14 1 1 177,2403 177,2403 177,2403 177,2403 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-15 1 1 175,157 175,157 175,157 175,157 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-18 1 1 171,9483 171,9483 171,9483 171,9483 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-19 1 1 173,1226 173,1226 173,1226 173,1226 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-20 1 1 172,4297 172,4297 172,4297 172,4297 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-21 1 1 171,6099 171,6099 171,6099 171,6099 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-22 1 1 172,8957 172,8957 172,8957 172,8957 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-25 1 1 173,7069 173,7069 173,7069 173,7069 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-26 1 1 172,9987 172,9987 172,9987 172,9987 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-27 1 1 171,3372 171,3372 171,3372 171,3372 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-28 1 1 172,0467 172,0467 172,0467 172,0467 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-04-29 1 1 172,2048 172,2048 172,2048 172,2048 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-02 1 1 174,1322 174,1322 174,1322 174,1322 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-03 1 1 174,6084 174,6084 174,6084 174,6084 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-04 1 1 173,8992 173,8992 173,8992 173,8992 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-06 1 1 176,3779 176,3779 176,3779 176,3779 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-09 1 1 176,1801 176,1801 176,1801 176,1801 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-10 1 1 176,255 176,255 176,255 176,255 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-11 1 1 175,9792 175,9792 175,9792 175,9792 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-12 1 1 177,1246 177,1246 177,1246 177,1246 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-13 1 1 176,5859 176,5859 176,5859 176,5859 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-16 1 1 176,4258 176,4258 176,4258 176,4258 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-17 1 1 176,4438 176,4438 176,4438 176,4438 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-18 1 1 178,2855 178,2855 178,2855 178,2855 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-19 1 1 179,181 179,181 179,181 179,181 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-20 1 1 179,3944 179,3944 179,3944 179,3944 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-23 1 1 179,844 179,844 179,844 179,844 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-24 1 1 180,5764 180,5764 180,5764 180,5764 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-25 1 1 180,2198 180,2198 180,2198 180,2198 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-26 1 1 182,5407 182,5407 182,5407 182,5407 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-27 1 1 182,298 182,298 182,298 182,298 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-30 1 1 182,8606 182,8606 182,8606 182,8606 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-05-31 1 1 183,8814 183,8814 183,8814 183,8814 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-01 1 1 185,4753 185,4753 185,4753 185,4753 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-02 1 1 186,4743 186,4743 186,4743 186,4743 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-03 1 1 186,0385 186,0385 186,0385 186,0385 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-07 1 1 187,212 187,212 187,212 187,212 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-08 1 1 187,2912 187,2912 187,2912 187,2912 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-09 1 1 187,4204 187,4204 187,4204 187,4204 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-10 1 1 189,0635 189,0635 189,0635 189,0635 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-13 1 1 191,3179 191,3179 191,3179 191,3179 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-14 1 1 192,3787 192,3787 192,3787 192,3787 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-15 1 1 191,8414 191,8414 191,8414 191,8414 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-16 1 1 192,4093 192,4093 192,4093 192,4093 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-17 1 1 191,5533 191,5533 191,5533 191,5533 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-20 1 1 190,9385 190,9385 190,9385 190,9385 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-21 1 1 191,6682 191,6682 191,6682 191,6682 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-22 1 1 193,1489 193,1489 193,1489 193,1489 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-23 1 1 195,286 195,286 195,286 195,286 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-27 1 1 191,3858 191,3858 191,3858 191,3858 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-28 1 1 192,8282 192,8282 192,8282 192,8282 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-29 1 1 194,7131 194,7131 194,7131 194,7131 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-06-30 1 1 194,9076 194,9076 194,9076 194,9076 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-01 1 1 195,3954 195,3954 195,3954 195,3954 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-04 1 1 197,1466 197,1466 197,1466 197,1466 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-05 1 1 196,0642 196,0642 196,0642 196,0642 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-06 1 1 196,4419 196,4419 196,4419 196,4419 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-07 1 1 194,5215 194,5215 194,5215 194,5215 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-08 1 1 196,1991 196,1991 196,1991 196,1991 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-11 1 1 198,6329 198,6329 198,6329 198,6329 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-12 1 1 196,09 196,09 196,09 196,09 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-13 1 1 195,4536 195,4536 195,4536 195,4536 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-14 1 1 197,0706 197,0706 197,0706 197,0706 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-15 1 1 196,7992 196,7992 196,7992 196,7992 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-18 1 1 196,36 196,36 196,36 196,36 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-19 1 1 197,9531 197,9531 197,9531 197,9531 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-20 1 1 197,5625 197,5625 197,5625 197,5625 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-21 1 1 198,7071 198,7071 198,7071 198,7071 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-22 1 1 199,0869 199,0869 199,0869 199,0869 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-25 1 1 199,4901 199,4901 199,4901 199,4901 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-26 1 1 200,7007 200,7007 200,7007 200,7007 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-27 1 1 200,1848 200,1848 200,1848 200,1848 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-28 1 1 199,6267 199,6267 199,6267 199,6267 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-07-29 1 1 200,1701 200,1701 200,1701 200,1701 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-01 1 1 198,5668 198,5668 198,5668 198,5668 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-02 1 1 199,2663 199,2663 199,2663 199,2663 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-03 1 1 198,222 198,222 198,222 198,222 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-04 1 1 196,908 196,908 196,908 196,908 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-05 1 1 196,6405 196,6405 196,6405 196,6405 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-08 1 1 196,9753 196,9753 196,9753 196,9753 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-09 1 1 198,2138 198,2138 198,2138 198,2138 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-10 1 1 199,214 199,214 199,214 199,214 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-11 1 1 198,1058 198,1058 198,1058 198,1058 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-12 1 1 197,5052 197,5052 197,5052 197,5052 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-15 1 1 198,4872 198,4872 198,4872 198,4872 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-16 1 1 200,3866 200,3866 200,3866 200,3866 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-17 1 1 199,9553 199,9553 199,9553 199,9553 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-18 1 1 199,9774 199,9774 199,9774 199,9774 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-19 1 1 201,3269 201,3269 201,3269 201,3269 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-22 1 1 201,5427 201,5427 201,5427 201,5427 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-23 1 1 200,2705 200,2705 200,2705 200,2705 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-24 1 1 198,5243 198,5243 198,5243 198,5243 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-25 1 1 197,7332 197,7332 197,7332 197,7332 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-26 1 1 196,645 196,645 196,645 196,645 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-29 1 1 196,6126 196,6126 196,6126 196,6126 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-30 1 1 198,5252 198,5252 198,5252 198,5252 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-08-31 1 1 198,1549 198,1549 198,1549 198,1549 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-01 1 1 198,1384 198,1384 198,1384 198,1384 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-02 1 1 196,3175 196,3175 196,3175 196,3175 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-05 1 1 196,7596 196,7596 196,7596 196,7596 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-06 1 1 197,761 197,761 197,761 197,761 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-07 1 1 199,0009 199,0009 199,0009 199,0009 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-08 1 1 199,2481 199,2481 199,2481 199,2481 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-09 1 1 200,1872 200,1872 200,1872 200,1872 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-12 1 1 200,8314 200,8314 200,8314 200,8314 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-13 1 1 201,3397 201,3397 201,3397 201,3397 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-14 1 1 201,0152 201,0152 201,0152 201,0152 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-15 1 1 201,4805 201,4805 201,4805 201,4805 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-16 1 1 202,8136 202,8136 202,8136 202,8136 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-19 1 1 204,0518 204,0518 204,0518 204,0518 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-20 1 1 204,4186 204,4186 204,4186 204,4186 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-21 1 1 201,8632 201,8632 201,8632 201,8632 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-22 1 1 201,3381 201,3381 201,3381 201,3381 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-23 1 1 202,748 202,748 202,748 202,748 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-26 1 1 205,4546 205,4546 205,4546 205,4546 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-27 1 1 206,0513 206,0513 206,0513 206,0513 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-28 1 1 208,0492 208,0492 208,0492 208,0492 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-29 1 1 207,2831 207,2831 207,2831 207,2831 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-09-30 1 1 208,0847 208,0847 208,0847 208,0847 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-03 1 1 210,3478 210,3478 210,3478 210,3478 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-04 1 1 210,2207 210,2207 210,2207 210,2207 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-05 1 1 207,2395 207,2395 207,2395 207,2395 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-06 1 1 202,4239 202,4239 202,4239 202,4239 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-07 1 1 203,1839 203,1839 203,1839 203,1839 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-10 1 1 203,5024 203,5024 203,5024 203,5024 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-11 1 1 203,9804 203,9804 203,9804 203,9804 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-12 1 1 203,0658 203,0658 203,0658 203,0658 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-13 1 1 201,722 201,722 201,722 201,722 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-14 1 1 202,2298 202,2298 202,2298 202,2298 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-17 1 1 203,4998 203,4998 203,4998 203,4998 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-18 1 1 203,4427 203,4427 203,4427 203,4427 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-19 1 1 200,3936 200,3936 200,3936 200,3936 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-20 1 1 201,5875 201,5875 201,5875 201,5875 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-21 1 1 199,2824 199,2824 199,2824 199,2824 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-24 1 1 202,3268 202,3268 202,3268 202,3268 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-25 1 1 201,6166 201,6166 201,6166 201,6166 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-26 1 1 201,7785 201,7785 201,7785 201,7785 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-27 1 1 199,9189 199,9189 199,9189 199,9189 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-28 1 1 199,9558 199,9558 199,9558 199,9558 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-10-31 1 1 204,5219 204,5219 204,5219 204,5219 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-01 1 1 205,6467 205,6467 205,6467 205,6467 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-02 1 1 206,6513 206,6513 206,6513 206,6513 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-03 1 1 209,214 209,214 209,214 209,214 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-04 1 1 210,0757 210,0757 210,0757 210,0757 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-07 1 1 211,7032 211,7032 211,7032 211,7032 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-08 1 1 211,1146 211,1146 211,1146 211,1146 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-09 1 1 211,7942 211,7942 211,7942 211,7942 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-10 1 1 213,328 213,328 213,328 213,328 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-11 1 1 213,801 213,801 213,801 213,801 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-14 1 1 214,1598 214,1598 214,1598 214,1598 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-15 1 1 215,434 215,434 215,434 215,434 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-16 1 1 214,1336 214,1336 214,1336 214,1336 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-17 1 1 215,1531 215,1531 215,1531 215,1531 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-18 1 1 215,3136 215,3136 215,3136 215,3136 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-21 1 1 214,1417 214,1417 214,1417 214,1417 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-22 1 1 215,8453 215,8453 215,8453 215,8453 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-23 1 1 214,95 214,95 214,95 214,95 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-24 1 1 215,254 215,254 215,254 215,254 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-25 1 1 215,116 215,116 215,116 215,116 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-28 1 1 215,4511 215,4511 215,4511 215,4511 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-29 1 1 215,3321 215,3321 215,3321 215,3321 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-11-30 1 1 215,2078 215,2078 215,2078 215,2078 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-01 1 1 217,1154 217,1154 217,1154 217,1154 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-02 1 1 216,568 216,568 216,568 216,568 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-05 1 1 215,5723 215,5723 215,5723 215,5723 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-06 1 1 215,3268 215,3268 215,3268 215,3268 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-07 1 1 216,277 216,277 216,277 216,277 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-08 1 1 215,8062 215,8062 215,8062 215,8062 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-12 1 1 215,5755 215,5755 215,5755 215,5755 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-13 1 1 215,8659 215,8659 215,8659 215,8659 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-14 1 1 215,5799 215,5799 215,5799 215,5799 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-15 1 1 216,05 216,05 216,05 216,05 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-16 1 1 217,5939 217,5939 217,5939 217,5939 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-19 1 1 216,8507 216,8507 216,8507 216,8507 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-20 1 1 215,709 215,709 215,709 215,709 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-21 1 1 218,8636 218,8636 218,8636 218,8636 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-22 1 1 219,8795 219,8795 219,8795 219,8795 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-23 1 1 220,6415 220,6415 220,6415 220,6415 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-27 1 1 220,4478 220,4478 220,4478 220,4478 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-28 1 1 217,4446 217,4446 217,4446 217,4446 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-29 1 1 218,9305 218,9305 218,9305 218,9305 321653 HQ Fonder Sverige Aktiebolag HQ Utlandsfond SEK 2005-12-30 1 1 217,3765 217,3765 217,3765 217,3765 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-03 1 1 150,27 150,27 150,27 150,27 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-04 1 1 150,94 150,94 150,94 150,94 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-05 1 1 149,59 149,59 149,59 149,59 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-07 1 1 150,09 150,09 150,09 150,09 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-10 1 1 152,1 152,1 152,1 152,1 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-11 1 1 150,77 150,77 150,77 150,77 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-12 1 1 148,31 148,31 148,31 148,31 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-13 1 1 148,57 148,57 148,57 148,57 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-14 1 1 149,35 149,35 149,35 149,35 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-17 1 1 150,59 150,59 150,59 150,59 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-18 1 1 150,02 150,02 150,02 150,02 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-19 1 1 150,41 150,41 150,41 150,41 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-20 1 1 148,93 148,93 148,93 148,93 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-21 1 1 148,56 148,56 148,56 148,56 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-24 1 1 147,16 147,16 147,16 147,16 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-25 1 1 148,78 148,78 148,78 148,78 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-26 1 1 148,63 148,63 148,63 148,63 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-27 1 1 149,49 149,49 149,49 149,49 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-28 1 1 148,85 148,85 148,85 148,85 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-01-31 1 1 149,76 149,76 149,76 149,76 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-01 1 1 150,69 150,69 150,69 150,69 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-02 1 1 151,66 151,66 151,66 151,66 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-03 1 1 151,26 151,26 151,26 151,26 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-04 1 1 152,67 152,67 152,67 152,67 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-07 1 1 153,85 153,85 153,85 153,85 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-08 1 1 154,26 154,26 154,26 154,26 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-09 1 1 154,73 154,73 154,73 154,73 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-10 1 1 153,03 153,03 153,03 153,03 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-11 1 1 154,64 154,64 154,64 154,64 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-14 1 1 154,95 154,95 154,95 154,95 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-15 1 1 156,11 156,11 156,11 156,11 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-16 1 1 154,57 154,57 154,57 154,57 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-17 1 1 155,12 155,12 155,12 155,12 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-18 1 1 154,24 154,24 154,24 154,24 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-21 1 1 154,66 154,66 154,66 154,66 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-22 1 1 153,92 153,92 153,92 153,92 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-23 1 1 154,04 154,04 154,04 154,04 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-24 1 1 154,66 154,66 154,66 154,66 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-25 1 1 155,67 155,67 155,67 155,67 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-02-28 1 1 156,33 156,33 156,33 156,33 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-01 1 1 156,49 156,49 156,49 156,49 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-02 1 1 156,57 156,57 156,57 156,57 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-03 1 1 157,38 157,38 157,38 157,38 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-04 1 1 158,62 158,62 158,62 158,62 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-07 1 1 158,19 158,19 158,19 158,19 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-08 1 1 157,45 157,45 157,45 157,45 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-09 1 1 157,22 157,22 157,22 157,22 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-10 1 1 155,86 155,86 155,86 155,86 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-11 1 1 156,53 156,53 156,53 156,53 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-14 1 1 156,84 156,84 156,84 156,84 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-15 1 1 157,59 157,59 157,59 157,59 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-16 1 1 156 156 156 156 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-17 1 1 155,62 155,62 155,62 155,62 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-18 1 1 155,21 155,21 155,21 155,21 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-21 1 1 154,66 154,66 154,66 154,66 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-22 1 1 155,81 155,81 155,81 155,81 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-23 1 1 155,32 155,32 155,32 155,32 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-24 1 1 156,38 156,38 156,38 156,38 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-29 1 1 156,22 156,22 156,22 156,22 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-30 1 1 155,29 155,29 155,29 155,29 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-03-31 1 1 156,6 156,6 156,6 156,6 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-01 1 1 157,49 157,49 157,49 157,49 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-04 1 1 157,05 157,05 157,05 157,05 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-05 1 1 158,4 158,4 158,4 158,4 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-06 1 1 159,42 159,42 159,42 159,42 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-07 1 1 159,88 159,88 159,88 159,88 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-08 1 1 160,47 160,47 160,47 160,47 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-11 1 1 161,09 161,09 161,09 161,09 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-12 1 1 160,79 160,79 160,79 160,79 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-13 1 1 161,77 161,77 161,77 161,77 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-14 1 1 162,14 162,14 162,14 162,14 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-15 1 1 159,86 159,86 159,86 159,86 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-18 1 1 157,94 157,94 157,94 157,94 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-19 1 1 158,41 158,41 158,41 158,41 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-20 1 1 158,71 158,71 158,71 158,71 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-21 1 1 158,74 158,74 158,74 158,74 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-22 1 1 160,35 160,35 160,35 160,35 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-25 1 1 160,45 160,45 160,45 160,45 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-26 1 1 158,98 158,98 158,98 158,98 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-27 1 1 155,64 155,64 155,64 155,64 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-28 1 1 154,31 154,31 154,31 154,31 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-04-29 1 1 154,59 154,59 154,59 154,59 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-02 1 1 156,04 156,04 156,04 156,04 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-03 1 1 156,35 156,35 156,35 156,35 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-04 1 1 156,9 156,9 156,9 156,9 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-06 1 1 158,53 158,53 158,53 158,53 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-09 1 1 158,73 158,73 158,73 158,73 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-10 1 1 157,31 157,31 157,31 157,31 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-11 1 1 157,45 157,45 157,45 157,45 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-12 1 1 158,67 158,67 158,67 158,67 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-13 1 1 158,76 158,76 158,76 158,76 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-16 1 1 159,15 159,15 159,15 159,15 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-17 1 1 159,53 159,53 159,53 159,53 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-18 1 1 161,05 161,05 161,05 161,05 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-19 1 1 161,41 161,41 161,41 161,41 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-20 1 1 161,54 161,54 161,54 161,54 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-23 1 1 161,77 161,77 161,77 161,77 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-24 1 1 161,7 161,7 161,7 161,7 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-25 1 1 161,73 161,73 161,73 161,73 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-26 1 1 162,66 162,66 162,66 162,66 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-27 1 1 162,9 162,9 162,9 162,9 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-30 1 1 163,42 163,42 163,42 163,42 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-05-31 1 1 163,79 163,79 163,79 163,79 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-01 1 1 163,99 163,99 163,99 163,99 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-02 1 1 158,73 158,73 158,73 158,73 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-03 1 1 157,97 157,97 157,97 157,97 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-07 1 1 159,38 159,38 159,38 159,38 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-08 1 1 159,89 159,89 159,89 159,89 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-09 1 1 159,83 159,83 159,83 159,83 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-10 1 1 160,57 160,57 160,57 160,57 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-13 1 1 161,34 161,34 161,34 161,34 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-14 1 1 162,17 162,17 162,17 162,17 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-15 1 1 161,57 161,57 161,57 161,57 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-16 1 1 161,9 161,9 161,9 161,9 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-17 1 1 163,01 163,01 163,01 163,01 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-20 1 1 163,09 163,09 163,09 163,09 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-21 1 1 164,15 164,15 164,15 164,15 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-22 1 1 164,75 164,75 164,75 164,75 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-23 1 1 166,02 166,02 166,02 166,02 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-27 1 1 162,89 162,89 162,89 162,89 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-28 1 1 163,86 163,86 163,86 163,86 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-29 1 1 164,88 164,88 164,88 164,88 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-06-30 1 1 164,84 164,84 164,84 164,84 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-01 1 1 166 166 166 166 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-04 1 1 166,97 166,97 166,97 166,97 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-05 1 1 166,71 166,71 166,71 166,71 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-06 1 1 167,05 167,05 167,05 167,05 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-07 1 1 164,15 164,15 164,15 164,15 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-08 1 1 166,6 166,6 166,6 166,6 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-11 1 1 169,32 169,32 169,32 169,32 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-12 1 1 169,49 169,49 169,49 169,49 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-13 1 1 170,52 170,52 170,52 170,52 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-14 1 1 170,8 170,8 170,8 170,8 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-15 1 1 170,41 170,41 170,41 170,41 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-18 1 1 170,76 170,76 170,76 170,76 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-19 1 1 170,72 170,72 170,72 170,72 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-20 1 1 169,84 169,84 169,84 169,84 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-21 1 1 171,2 171,2 171,2 171,2 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-22 1 1 171,65 171,65 171,65 171,65 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-25 1 1 171,07 171,07 171,07 171,07 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-26 1 1 171,72 171,72 171,72 171,72 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-27 1 1 172,23 172,23 172,23 172,23 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-28 1 1 173,44 173,44 173,44 173,44 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-07-29 1 1 173,28 173,28 173,28 173,28 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-01 1 1 173,27 173,27 173,27 173,27 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-02 1 1 174,37 174,37 174,37 174,37 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-03 1 1 174,01 174,01 174,01 174,01 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-04 1 1 173,35 173,35 173,35 173,35 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-05 1 1 172,85 172,85 172,85 172,85 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-08 1 1 172,86 172,86 172,86 172,86 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-09 1 1 173,17 173,17 173,17 173,17 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-10 1 1 175,32 175,32 175,32 175,32 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-11 1 1 174,67 174,67 174,67 174,67 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-12 1 1 173,98 173,98 173,98 173,98 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-15 1 1 173,7 173,7 173,7 173,7 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-16 1 1 174,31 174,31 174,31 174,31 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-17 1 1 172,82 172,82 172,82 172,82 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-18 1 1 173,42 173,42 173,42 173,42 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-19 1 1 174,66 174,66 174,66 174,66 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-22 1 1 174,64 174,64 174,64 174,64 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-23 1 1 173,55 173,55 173,55 173,55 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-24 1 1 171,37 171,37 171,37 171,37 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-25 1 1 169,34 169,34 169,34 169,34 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-26 1 1 168,51 168,51 168,51 168,51 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-29 1 1 169,44 169,44 169,44 169,44 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-30 1 1 169,32 169,32 169,32 169,32 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-08-31 1 1 170,45 170,45 170,45 170,45 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-01 1 1 171,45 171,45 171,45 171,45 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-02 1 1 171,27 171,27 171,27 171,27 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-05 1 1 172,7 172,7 172,7 172,7 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-06 1 1 173,89 173,89 173,89 173,89 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-07 1 1 174,09 174,09 174,09 174,09 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-08 1 1 173,74 173,74 173,74 173,74 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-09 1 1 174,97 174,97 174,97 174,97 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-12 1 1 175,4 175,4 175,4 175,4 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-13 1 1 175,34 175,34 175,34 175,34 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-14 1 1 175,9 175,9 175,9 175,9 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-15 1 1 175,34 175,34 175,34 175,34 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-16 1 1 175,88 175,88 175,88 175,88 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-19 1 1 176,46 176,46 176,46 176,46 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-20 1 1 176,28 176,28 176,28 176,28 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-21 1 1 175,03 175,03 175,03 175,03 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-22 1 1 174,88 174,88 174,88 174,88 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-23 1 1 175,3 175,3 175,3 175,3 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-26 1 1 177,61 177,61 177,61 177,61 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-27 1 1 178,05 178,05 178,05 178,05 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-28 1 1 179,44 179,44 179,44 179,44 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-29 1 1 179,71 179,71 179,71 179,71 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-09-30 1 1 180,82 180,82 180,82 180,82 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-03 1 1 182,23 182,23 182,23 182,23 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-04 1 1 181,81 181,81 181,81 181,81 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-05 1 1 180,75 180,75 180,75 180,75 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-06 1 1 178,73 178,73 178,73 178,73 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-07 1 1 178,62 178,62 178,62 178,62 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-10 1 1 179,58 179,58 179,58 179,58 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-11 1 1 179,64 179,64 179,64 179,64 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-12 1 1 178,46 178,46 178,46 178,46 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-13 1 1 176,12 176,12 176,12 176,12 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-14 1 1 176,09 176,09 176,09 176,09 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-17 1 1 176 176 176 176 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-18 1 1 175,26 175,26 175,26 175,26 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-19 1 1 172,86 172,86 172,86 172,86 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-20 1 1 173,16 173,16 173,16 173,16 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-21 1 1 171,63 171,63 171,63 171,63 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-24 1 1 173,44 173,44 173,44 173,44 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-25 1 1 175,01 175,01 175,01 175,01 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-26 1 1 175,66 175,66 175,66 175,66 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-27 1 1 173,71 173,71 173,71 173,71 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-28 1 1 173,37 173,37 173,37 173,37 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-10-31 1 1 176,94 176,94 176,94 176,94 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-01 1 1 177,76 177,76 177,76 177,76 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-02 1 1 178,01 178,01 178,01 178,01 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-03 1 1 180 180 180 180 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-04 1 1 180,11 180,11 180,11 180,11 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-07 1 1 180,93 180,93 180,93 180,93 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-08 1 1 180,75 180,75 180,75 180,75 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-09 1 1 180,94 180,94 180,94 180,94 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-10 1 1 181,39 181,39 181,39 181,39 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-11 1 1 183,36 183,36 183,36 183,36 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-14 1 1 183,75 183,75 183,75 183,75 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-15 1 1 183,08 183,08 183,08 183,08 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-16 1 1 183,24 183,24 183,24 183,24 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-17 1 1 184 184 184 184 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-18 1 1 184,85 184,85 184,85 184,85 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-21 1 1 185,16 185,16 185,16 185,16 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-22 1 1 185,08 185,08 185,08 185,08 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-23 1 1 185,36 185,36 185,36 185,36 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-24 1 1 184,97 184,97 184,97 184,97 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-25 1 1 185,47 185,47 185,47 185,47 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-28 1 1 185,52 185,52 185,52 185,52 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-29 1 1 185,76 185,76 185,76 185,76 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-11-30 1 1 184,75 184,75 184,75 184,75 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-01 1 1 186,54 186,54 186,54 186,54 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-02 1 1 188,69 188,69 188,69 188,69 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-05 1 1 187,72 187,72 187,72 187,72 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-06 1 1 189,22 189,22 189,22 189,22 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-07 1 1 189,43 189,43 189,43 189,43 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-08 1 1 189,63 189,63 189,63 189,63 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-12 1 1 190,24 190,24 190,24 190,24 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-13 1 1 189,89 189,89 189,89 189,89 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-14 1 1 189,41 189,41 189,41 189,41 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-15 1 1 189,01 189,01 189,01 189,01 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-16 1 1 190,26 190,26 190,26 190,26 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-19 1 1 190,78 190,78 190,78 190,78 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-20 1 1 190,44 190,44 190,44 190,44 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-21 1 1 191,9 191,9 191,9 191,9 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-22 1 1 192,49 192,49 192,49 192,49 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-23 1 1 194,15 194,15 194,15 194,15 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-27 1 1 195,39 195,39 195,39 195,39 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-28 1 1 194,94 194,94 194,94 194,94 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-29 1 1 195,67 195,67 195,67 195,67 838441 Catella Fondförvaltning AB Ikano Svensk Aktiefond SEK 2005-12-30 1 1 194,99 194,99 194,99 194,99 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-03 9,0065 9,0015 25,04 25,04 225,52276 225,39756 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-04 9,0345 9,0295 25,04 25,04 226,22388 226,09868 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-05 9,0615 9,0565 25,06 25,06 227,08119 226,95589 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-07 9,0615 9,0565 25,04 25,04 226,89996 226,77476 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-10 9,08619 9,08119 25,05 25,05 227,6090595 227,4838095 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-11 9,08619 9,08119 25,05 25,05 227,6090595 227,4838095 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-12 9,0455 9,0405 25,1 25,1 227,04205 226,91655 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-13 9,0505 9,0455 25,06 25,06 226,80553 226,68023 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-14 9,0455 9,0405 25,03 25,03 226,408865 226,283715 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-17 9,0685 9,0635 25,07 25,07 227,347295 227,221945 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-18 9,0585 9,0535 25,1 25,1 227,36835 227,24285 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-19 9,0225 9,0175 25,07 25,07 226,194075 226,068725 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-20 9,0315 9,0265 25,06 25,06 226,32939 226,20409 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-21 9,0505 9,0455 25,02 25,02 226,44351 226,31841 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-24 9,0655 9,0605 25 25 226,6375 226,5125 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-25 9,0715 9,0665 25,02 25,02 226,96893 226,84383 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-26 9,0885 9,0835 25 25 227,2125 227,0875 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-27 9,0675 9,0625 25,05 25,05 227,140875 227,015625 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-28 9,0955 9,0905 25,04 25,04 227,75132 227,62612 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-01-31 9,1075 9,1025 25,03 25,03 227,960725 227,835575 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-01 9,1035 9,0985 25,05 25,05 228,042675 227,917425 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-02 9,0905 9,0855 25,05 25,05 227,717025 227,591775 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-03 9,0695 9,0645 25,06 25,06 227,28167 227,15637 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-04 9,0895 9,0845 25,06 25,06 227,78287 227,65757 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-07 9,0755 9,0705 25,06 25,06 227,43203 227,30673 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-08 9,0895 9,0845 25,1 25,1 228,14645 228,02095 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-09 9,0695 9,0645 25,09 25,09 227,553755 227,428305 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-10 9,0805 9,0755 25,08 25,08 227,73894 227,61354 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-11 9,0935 9,0885 25,09 25,09 228,155915 228,030465 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-14 9,1105 9,1055 25,09 25,09 228,582445 228,456995 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-15 9,0765 9,0715 25,12 25,12 228,00168 227,87608 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-16 9,0705 9,0655 25,13 25,13 227,941665 227,816015 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-17 9,0925 9,0875 25,1 25,1 228,22175 228,09625 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-18 9,0945 9,0895 25,08 25,08 228,09006 227,96466 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-21 9,1185 9,1135 25,1 25,1 228,87435 228,74885 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-22 9,0975 9,0925 25,1 25,1 228,34725 228,22175 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-23 9,1045 9,0995 25,08 25,08 228,34086 228,21546 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-24 9,0715 9,0665 25,03 25,03 227,059645 226,934495 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-25 9,0845 9,0795 25,05 25,05 227,566725 227,441475 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-02-28 9,0505 9,0455 25,11 25,11 227,258055 227,132505 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-01 9,0565 9,0515 25,18 25,18 228,04267 227,91677 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-02 9,0645 9,0595 25,2 25,2 228,4254 228,2994 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-03 9,0675 9,0625 25,23 25,23 228,773025 228,646875 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-04 9,0415 9,0365 25,24 25,24 228,20746 228,08126 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-07 9,0425 9,0375 25,25 25,25 228,323125 228,196875 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-08 9,0345 9,0295 25,26 25,26 228,21147 228,08517 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-09 9,0365 9,0315 25,24 25,24 228,08126 227,95506 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-10 9,0655 9,0605 25,28 25,28 229,17584 229,04944 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-11 9,0795 9,0745 25,21 25,21 228,894195 228,768145 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-14 9,0695 9,0645 25,25 25,25 229,004875 228,878625 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-15 9,1035 9,0985 25,21 25,21 229,499235 229,373185 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-16 9,0975 9,0925 25,2 25,2 229,257 229,131 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-17 9,1045 9,0995 25,21 25,21 229,524445 229,398395 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-18 9,1035 9,0985 25,16 25,16 229,04406 228,91826 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-21 9,1265 9,1215 25,23 25,23 230,261595 230,135445 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-22 9,1265 9,1215 25,24 25,24 230,35286 230,22666 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-23 9,1165 9,1115 25,22 25,22 229,91813 229,79203 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-24 9,1135 9,1085 25,17 25,17 229,386795 229,260945 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-29 9,1315 9,1265 25,22 25,22 230,29643 230,17033 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-30 9,1425 9,1375 25,14 25,14 229,84245 229,71675 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-03-31 9,1405 9,1355 25,11 25,11 229,517955 229,392405 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-01 9,1645 9,1595 25,17 25,17 230,670465 230,544615 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-04 9,1695 9,1645 25,21 25,21 231,163095 231,037045 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-05 9,1745 9,1695 25,19 25,19 231,105655 230,979705 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-06 9,1705 9,1655 25,25 25,25 231,555125 231,428875 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-07 9,1505 9,1455 25,28 25,28 231,32464 231,19824 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-08 9,1625 9,1575 25,27 25,27 231,536375 231,410025 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-11 9,1705 9,1655 25,31 25,31 232,105355 231,978805 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-12 9,1525 9,1475 25,23 25,23 230,917575 230,791425 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-13 9,1495 9,1445 25,19 25,19 230,475905 230,349955 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-14 9,1685 9,1635 25,19 25,19 230,954515 230,828565 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-15 9,1925 9,1875 25,13 25,13 231,007525 230,881875 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-18 9,1805 9,1755 25 25 229,5125 229,3875 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-19 9,2035 9,1985 24,78 24,78 228,06273 227,93883 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-20 9,1915 9,1865 24,83 24,83 228,224945 228,100795 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-21 9,1855 9,1805 24,84 24,84 228,16782 228,04362 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-22 9,1625 9,1575 24,79 24,79 227,138375 227,014425 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-25 9,1685 9,1635 24,83 24,83 227,653855 227,529705 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-26 9,1375 9,1325 24,85 24,85 227,066875 226,942625 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-27 9,1465 9,1415 24,82 24,82 227,01613 226,89203 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-28 9,1505 9,1455 24,82 24,82 227,11541 226,99131 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-04-29 9,1705 9,1655 24,82 24,82 227,61181 227,48771 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-02 9,1935 9,1885 24,83 24,83 228,274605 228,150455 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-03 9,2245 9,2195 24,85 24,85 229,228825 229,104575 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-04 9,1915 9,1865 24,85 24,85 228,408775 228,284525 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-06 9,1715 9,1665 24,85 24,85 227,911775 227,787525 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-09 9,1815 9,1765 24,93 24,93 228,894795 228,770145 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-10 9,1985 9,1935 24,93 24,93 229,318605 229,193955 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-11 9,2105 9,2055 24,91 24,91 229,433555 229,309005 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-12 9,2315 9,2265 24,88 24,88 229,67972 229,55532 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-13 9,2045 9,1995 24,87 24,87 228,915915 228,791565 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-17 9,2325 9,2275 24,82 24,82 229,15065 229,02655 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-18 9,2095 9,2045 24,76 24,76 228,02722 227,90342 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-19 9,1905 9,1855 24,77 24,77 227,648685 227,524835 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-20 9,1955 9,1905 24,86 24,86 228,60013 228,47583 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-23 9,1805 9,1755 24,85 24,85 228,135425 228,011175 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-24 9,1815 9,1765 24,9 24,9 228,61935 228,49485 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-25 9,1785 9,1735 24,88 24,88 228,36108 228,23668 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-26 9,1945 9,1895 24,82 24,82 228,20749 228,08339 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-27 9,1955 9,1905 24,83 24,83 228,324265 228,200115 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-30 9,1905 9,1855 24,88 24,88 228,65964 228,53524 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-05-31 9,1665 9,1615 24,92 24,92 228,42918 228,30458 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-01 9,1455 9,1405 24,94 24,94 228,08877 227,96407 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-02 9,1565 9,1515 24,96 24,96 228,54624 228,42144 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-03 9,1315 9,1265 24,96 24,96 227,92224 227,79744 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-07 9,1455 9,1405 24,97 24,97 228,363135 228,238285 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-08 9,1455 9,1405 24,93 24,93 227,997315 227,872665 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-09 9,1965 9,1915 24,97 24,97 229,636605 229,511755 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-10 9,1975 9,1925 24,94 24,94 229,38565 229,26095 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-13 9,2365 9,2315 24,98 24,98 230,72777 230,60287 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-14 9,2985 9,2935 24,98 24,98 232,27653 232,15163 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-15 9,2695 9,2645 25 25 231,7375 231,6125 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-16 9,2695 9,2645 25,03 25,03 232,015585 231,890435 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-17 9,2695 9,2645 25,04 25,04 232,10828 231,98308 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-20 9,2255 9,2205 25,08 25,08 231,37554 231,25014 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-21 9,2725 9,2675 25,07 25,07 232,461575 232,336225 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-22 9,2615 9,2565 25,08 25,08 232,27842 232,15302 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-27 9,3855 9,3805 25,09 25,09 235,482195 235,356745 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-28 9,3995 9,3945 25,04 25,04 235,36348 235,23828 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-29 9,4215 9,4165 25,08 25,08 236,29122 236,16582 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-06-30 9,4415 9,4365 25,09 25,09 236,887235 236,761785 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-01 9,4595 9,4545 25,09 25,09 237,338855 237,213405 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-04 9,4795 9,4745 25,11 25,11 238,030245 237,904695 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-05 9,4575 9,4525 25,15 25,15 237,856125 237,730375 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-06 9,4195 9,4145 25,12 25,12 236,61784 236,49224 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-07 9,3965 9,3915 25,12 25,12 236,04008 235,91448 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-08 9,4175 9,4125 25,1 25,1 236,37925 236,25375 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-11 9,4665 9,4615 25,1 25,1 237,60915 237,48365 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-12 9,4645 9,4595 25,15 25,15 238,032175 237,906425 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-13 9,3915 9,3865 25,14 25,14 236,10231 235,97661 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-14 9,3675 9,3625 25,13 25,13 235,405275 235,279625 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-15 9,4055 9,4005 25,16 25,16 236,64238 236,51658 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-18 9,3895 9,3845 25,18 25,18 236,42761 236,30171 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-19 9,4425 9,4375 25,18 25,18 237,76215 237,63625 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-20 9,4265 9,4215 25,17 25,17 237,265005 237,139155 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-21 9,4625 9,4575 25,17 25,17 238,171125 238,045275 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-22 9,4495 9,4445 25,2 25,2 238,1274 238,0014 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-25 9,4275 9,4225 25,15 25,15 237,101625 236,975875 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-26 9,4155 9,4105 25,18 25,18 237,08229 236,95639 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-27 9,4725 9,4675 25,17 25,17 238,422825 238,296975 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-28 9,4515 9,4465 25,21 25,21 238,272315 238,146265 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-07-29 9,3885 9,3835 25,21 25,21 236,684085 236,558035 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-01 9,3985 9,3935 25,24 25,24 237,21814 237,09194 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-02 9,3995 9,3945 25,26 25,26 237,43137 237,30507 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-03 9,3755 9,3705 25,26 25,26 236,82513 236,69883 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-04 9,3735 9,3685 25,25 25,25 236,680875 236,554625 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-05 9,3355 9,3305 25,21 25,21 235,347955 235,221905 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-08 9,3335 9,3285 25,15 25,15 234,737525 234,611775 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-09 9,3455 9,3405 25,17 25,17 235,226235 235,100385 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-10 9,3535 9,3485 25,23 25,23 235,988805 235,862655 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-11 9,3365 9,3315 25,36 25,36 236,77364 236,64684 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-12 9,3025 9,2975 25,42 25,42 236,46955 236,34245 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-16 9,2995 9,2945 25,42 25,42 236,39329 236,26619 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-17 9,3405 9,3355 25,48 25,48 237,99594 237,86854 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-18 9,3365 9,3315 25,46 25,46 237,70729 237,57999 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-19 9,3395 9,3345 25,46 25,46 237,78367 237,65637 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-22 9,3655 9,3605 25,45 25,45 238,351975 238,224725 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-23 9,3715 9,3665 25,59 25,59 239,816685 239,688735 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-24 9,3365 9,3315 25,59 25,59 238,921035 238,793085 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-25 9,3335 9,3285 25,6 25,6 238,9376 238,8096 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-26 9,3415 9,3365 25,57 25,57 238,862155 238,734305 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-29 9,3295 9,3245 25,55 25,55 238,368725 238,240975 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-30 9,3285 9,3235 25,48 25,48 237,69018 237,56278 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-08-31 9,3585 9,3535 25,57 25,57 239,296845 239,168995 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-01 9,3365 9,3315 25,54 25,54 238,45421 238,32651 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-02 9,3025 9,2975 25,59 25,59 238,050975 237,923025 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-05 9,2845 9,2795 25,6 25,6 237,6832 237,5552 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-06 9,3225 9,3175 25,68 25,68 239,4018 239,2734 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-07 9,3075 9,3025 25,64 25,64 238,6443 238,5161 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-08 9,3255 9,3205 25,65 25,65 239,199075 239,070825 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-09 9,3445 9,3395 25,62 25,62 239,40609 239,27799 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-12 9,3015 9,2965 25,73 25,73 239,327595 239,198945 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-13 9,3015 9,2965 25,86 25,86 240,53679 240,40749 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-14 9,3365 9,3315 25,86 25,86 241,44189 241,31259 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-15 9,3425 9,3375 25,84 25,84 241,4102 241,281 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-16 9,3465 9,3415 25,93 25,93 242,354745 242,225095 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-19 9,3355 9,3305 25,89 25,89 241,696095 241,566645 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-20 9,3395 9,3345 25,91 25,91 241,986445 241,856895 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-21 9,3405 9,3355 26,02 26,02 243,03981 242,90971 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-22 9,3405 9,3355 26,04 26,04 243,22662 243,09642 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-23 9,3695 9,3645 26,04 26,04 243,98178 243,85158 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-26 9,3815 9,3765 26,04 26,04 244,29426 244,16406 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-27 9,3885 9,3835 26,16 26,16 245,60316 245,47236 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-28 9,3935 9,3885 26,13 26,13 245,452155 245,321505 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-29 9,3845 9,3795 26,26 26,26 246,43697 246,30567 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-09-30 9,3435 9,3385 26,41 26,41 246,761835 246,629785 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-03 9,3025 9,2975 26,34 26,34 245,02785 244,89615 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-04 9,3185 9,3135 26,36 26,36 245,63566 245,50386 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-05 9,3105 9,3055 26,5 26,5 246,72825 246,59575 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-06 9,3015 9,2965 26,44 26,44 245,93166 245,79946 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-07 9,3385 9,3335 26,11 26,11 243,828235 243,697685 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-10 9,3465 9,3415 26,05 26,05 243,476325 243,346075 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-11 9,3395 9,3345 26,06 26,06 243,38737 243,25707 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-12 9,3375 9,3325 26,34 26,34 245,94975 245,81805 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-13 9,3815 9,3765 26,27 26,27 246,452005 246,320655 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-14 9,4135 9,4085 26,24 26,24 247,01024 246,87904 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-17 9,4575 9,4525 26,21 26,21 247,881075 247,750025 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-18 9,4625 9,4575 26,16 26,16 247,539 247,4082 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-19 9,4605 9,4555 26,15 26,15 247,392075 247,261325 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-20 9,4935 9,4885 25,99 25,99 246,736065 246,606115 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-21 9,4915 9,4865 26,02 26,02 246,96883 246,83873 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-24 9,5455 9,5405 26 26 248,183 248,053 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-25 9,5465 9,5415 25,94 25,94 247,63621 247,50651 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-26 9,4975 9,4925 26,09 26,09 247,789775 247,659325 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-27 9,5355 9,5305 26,14 26,14 249,25797 249,12727 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-28 9,5135 9,5085 26,17 26,17 248,968295 248,837445 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-10-31 9,5495 9,5445 26,09 26,09 249,146455 249,016005 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-02 9,5855 9,5805 26,53 26,53 254,303315 254,170665 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-03 9,6515 9,6465 26,5 26,5 255,76475 255,63225 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-04 9,5875 9,5825 26,5 26,5 254,06875 253,93625 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-07 9,6075 9,6025 26,68 26,68 256,3281 256,1947 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-08 9,5685 9,5635 26,68 26,68 255,28758 255,15418 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-09 9,5575 9,5525 26,7 26,7 255,18525 255,05175 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-10 9,6105 9,6055 26,7 26,7 256,60035 256,46685 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-11 9,6365 9,6315 26,7 26,7 257,29455 257,16105 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-14 9,5505 9,5455 26,8 26,8 255,9534 255,8194 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-15 9,5805 9,5755 26,76 26,76 256,37418 256,24038 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-16 9,6235 9,6185 26,75 26,75 257,428625 257,294875 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-17 9,6355 9,6305 26,89 26,89 259,098595 258,964145 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-18 9,6085 9,6035 27,1 27,1 260,39035 260,25485 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-21 9,5915 9,5865 27,18 27,18 260,69697 260,56107 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-22 9,5585 9,5535 27,21 27,21 260,086785 259,950735 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-23 9,5155 9,5105 27,18 27,18 258,63129 258,49539 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-24 9,5125 9,5075 27,18 27,18 258,54975 258,41385 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-25 9,4965 9,4915 27,2 27,2 258,3048 258,1688 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-28 9,4835 9,4785 27,27 27,27 258,615045 258,478695 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-29 9,4785 9,4735 27,37 27,37 259,426545 259,289695 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-11-30 9,5295 9,5245 27,34 27,34 260,53653 260,39983 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-01 9,5165 9,5115 27,31 27,31 259,895615 259,759065 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-02 9,4905 9,4855 27,58 27,58 261,74799 261,61009 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-05 9,4065 9,4015 27,7 27,7 260,56005 260,42155 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-06 9,4185 9,4135 27,86 27,86 262,39941 262,26011 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-07 9,4255 9,4205 27,79 27,79 261,934645 261,795695 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-08 9,3965 9,3915 27,88 27,88 261,97442 261,83502 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-12 9,4315 9,4265 27,71 27,71 261,346865 261,208315 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-13 9,4295 9,4245 27,95 27,95 263,554525 263,414775 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-14 9,4365 9,4315 27,95 27,95 263,750175 263,610425 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-15 9,4345 9,4295 27,77 27,77 261,996065 261,857215 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-16 9,4765 9,4715 27,61 27,61 261,646165 261,508115 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-19 9,4535 9,4485 27,59 27,59 260,822065 260,684115 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-20 9,4015 9,3965 27,83 27,83 261,643745 261,504595 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-21 9,4485 9,4435 28,03 28,03 264,841455 264,701305 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-22 9,4365 9,4315 28,19 28,19 266,014935 265,873985 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-23 9,4425 9,4375 28,2 28,2 266,2785 266,1375 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-27 9,4915 9,4865 28,28 28,28 268,41962 268,27822 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-28 9,4345 9,4295 28,28 28,28 266,80766 266,66626 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-29 9,4115 9,4065 28,44 28,44 267,66306 267,52086 127928 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Continuous Click Fund Japan EUR 2005-12-30 9,4325 9,4275 28,47 28,47 268,543275 268,400925 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-03 9,0065 9,0015 25,92 25,92 233,44848 233,31888 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-04 9,0345 9,0295 25,96 25,96 234,53562 234,40582 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-05 9,0615 9,0565 25,95 25,95 235,145925 235,016175 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-07 9,0615 9,0565 25,97 25,97 235,327155 235,197305 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-10 9,08619 9,08119 25,99 25,99 236,1500781 236,0201281 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-11 9,08619 9,08119 25,99 25,99 236,1500781 236,0201281 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-12 9,0455 9,0405 25,91 25,91 234,368905 234,239355 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-13 9,0505 9,0455 25,87 25,87 234,136435 234,007085 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-14 9,0455 9,0405 25,9 25,9 234,27845 234,14895 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-17 9,0685 9,0635 25,92 25,92 235,05552 234,92592 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-18 9,0585 9,0535 25,96 25,96 235,15866 235,02886 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-19 9,0225 9,0175 25,96 25,96 234,2241 234,0943 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-20 9,0315 9,0265 25,95 25,95 234,367425 234,237675 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-21 9,0505 9,0455 25,88 25,88 234,22694 234,09754 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-24 9,0655 9,0605 25,89 25,89 234,705795 234,576345 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-25 9,0715 9,0665 25,88 25,88 234,77042 234,64102 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-26 9,0885 9,0835 25,92 25,92 235,57392 235,44432 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-27 9,0675 9,0625 25,92 25,92 235,0296 234,9 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-28 9,0955 9,0905 25,95 25,95 236,028225 235,898475 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-01-31 9,1075 9,1025 25,91 25,91 235,975325 235,845775 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-01 9,1035 9,0985 25,99 25,99 236,599965 236,470015 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-02 9,0905 9,0855 26,04 26,04 236,71662 236,58642 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-03 9,0695 9,0645 26,05 26,05 236,260475 236,130225 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-04 9,0895 9,0845 26,05 26,05 236,781475 236,651225 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-07 9,0755 9,0705 26,12 26,12 237,05206 236,92146 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-08 9,0895 9,0845 26,14 26,14 237,59953 237,46883 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-09 9,0695 9,0645 26,15 26,15 237,167425 237,036675 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-10 9,0805 9,0755 26,13 26,13 237,273465 237,142815 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-11 9,0935 9,0885 26,15 26,15 237,795025 237,664275 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-14 9,1105 9,1055 26,2 26,2 238,6951 238,5641 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-15 9,0765 9,0715 26,19 26,19 237,713535 237,582585 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-16 9,0705 9,0655 26,2 26,2 237,6471 237,5161 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-17 9,0925 9,0875 26,17 26,17 237,950725 237,819875 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-18 9,0945 9,0895 26,18 26,18 238,09401 237,96311 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-21 9,1185 9,1135 26,18 26,18 238,72233 238,59143 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-22 9,0975 9,0925 26,19 26,19 238,263525 238,132575 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-23 9,1045 9,0995 26,09 26,09 237,536405 237,405955 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-24 9,0715 9,0665 26,08 26,08 236,58472 236,45432 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-25 9,0845 9,0795 26,09 26,09 237,014605 236,884155 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-02-28 9,0505 9,0455 26,18 26,18 236,94209 236,81119 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-01 9,0565 9,0515 26,13 26,13 236,646345 236,515695 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-02 9,0645 9,0595 26,21 26,21 237,580545 237,449495 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-03 9,0675 9,0625 26,19 26,19 237,477825 237,346875 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-04 9,0415 9,0365 26,2 26,2 236,8873 236,7563 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-07 9,0425 9,0375 26,28 26,28 237,6369 237,5055 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-08 9,0345 9,0295 26,28 26,28 237,42666 237,29526 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-09 9,0365 9,0315 26,25 26,25 237,208125 237,076875 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-10 9,0655 9,0605 26,19 26,19 237,425445 237,294495 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-11 9,0795 9,0745 26,18 26,18 237,70131 237,57041 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-14 9,0695 9,0645 26,15 26,15 237,167425 237,036675 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-15 9,1035 9,0985 26,17 26,17 238,238595 238,107745 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-16 9,0975 9,0925 26,19 26,19 238,263525 238,132575 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-17 9,1045 9,0995 26,09 26,09 237,536405 237,405955 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-18 9,1035 9,0985 26,12 26,12 237,78342 237,65282 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-21 9,1265 9,1215 26,11 26,11 238,292915 238,162365 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-22 9,1265 9,1215 26,13 26,13 238,475445 238,344795 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-23 9,1165 9,1115 26,18 26,18 238,66997 238,53907 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-24 9,1135 9,1085 26,14 26,14 238,22689 238,09619 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-29 9,1315 9,1265 26,2 26,2 239,2453 239,1143 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-30 9,1425 9,1375 26,19 26,19 239,442075 239,311125 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-03-31 9,1405 9,1355 26,21 26,21 239,572505 239,441455 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-01 9,1645 9,1595 26,16 26,16 239,74332 239,61252 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-04 9,1695 9,1645 26,14 26,14 239,69073 239,56003 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-05 9,1745 9,1695 26,16 26,16 240,00492 239,87412 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-06 9,1705 9,1655 26,21 26,21 240,358805 240,227755 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-07 9,1505 9,1455 26,22 26,22 239,92611 239,79501 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-08 9,1625 9,1575 26,26 26,26 240,60725 240,47595 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-11 9,1705 9,1655 26,26 26,26 240,81733 240,68603 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-12 9,1525 9,1475 26,26 26,26 240,34465 240,21335 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-13 9,1495 9,1445 26,21 26,21 239,808395 239,677345 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-14 9,1685 9,1635 26,24 26,24 240,58144 240,45024 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-15 9,1925 9,1875 26,22 26,22 241,02735 240,89625 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-18 9,1805 9,1755 26,06 26,06 239,24383 239,11353 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-19 9,2035 9,1985 25,95 25,95 238,830825 238,701075 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-20 9,1915 9,1865 25,98 25,98 238,79517 238,66527 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-21 9,1855 9,1805 25,89 25,89 237,812595 237,683145 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-22 9,1625 9,1575 26,01 26,01 238,316625 238,186575 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-25 9,1685 9,1635 26,02 26,02 238,56437 238,43427 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-26 9,1375 9,1325 26,06 26,06 238,12325 237,99295 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-27 9,1465 9,1415 26,04 26,04 238,17486 238,04466 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-28 9,1505 9,1455 25,99 25,99 237,821495 237,691545 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-04-29 9,1705 9,1655 25,94 25,94 237,88277 237,75307 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-02 9,1935 9,1885 25,97 25,97 238,755195 238,625345 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-03 9,2245 9,2195 26,01 26,01 239,929245 239,799195 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-04 9,1915 9,1865 26,05 26,05 239,438575 239,308325 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-06 9,1715 9,1665 26,12 26,12 239,55958 239,42898 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-09 9,1815 9,1765 26,17 26,17 240,279855 240,149005 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-10 9,1985 9,1935 26,18 26,18 240,81673 240,68583 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-11 9,2105 9,2055 26,09 26,09 240,301945 240,171495 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-12 9,2315 9,2265 26,08 26,08 240,75752 240,62712 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-13 9,2045 9,1995 26,12 26,12 240,42154 240,29094 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-17 9,2325 9,2275 26,16 26,16 241,5222 241,3914 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-18 9,2095 9,2045 26,14 26,14 240,73633 240,60563 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-19 9,1905 9,1855 26,29 26,29 241,618245 241,486795 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-20 9,1955 9,1905 26,3 26,3 241,84165 241,71015 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-23 9,1805 9,1755 26,35 26,35 241,906175 241,774425 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-24 9,1815 9,1765 26,38 26,38 242,20797 242,07607 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-25 9,1785 9,1735 26,36 26,36 241,94526 241,81346 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-26 9,1945 9,1895 26,34 26,34 242,18313 242,05143 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-27 9,1955 9,1905 26,41 26,41 242,853155 242,721105 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-30 9,1905 9,1855 26,41 26,41 242,721105 242,589055 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-05-31 9,1665 9,1615 26,45 26,45 242,453925 242,321675 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-01 9,1455 9,1405 26,43 26,43 241,715565 241,583415 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-02 9,1565 9,1515 26,52 26,52 242,83038 242,69778 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-03 9,1315 9,1265 26,52 26,52 242,16738 242,03478 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-07 9,1455 9,1405 26,47 26,47 242,081385 241,949035 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-08 9,1455 9,1405 26,53 26,53 242,630115 242,497465 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-09 9,1965 9,1915 26,5 26,5 243,70725 243,57475 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-10 9,1975 9,1925 26,52 26,52 243,9177 243,7851 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-13 9,2365 9,2315 26,55 26,55 245,229075 245,096325 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-14 9,2985 9,2935 26,58 26,58 247,15413 247,02123 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-15 9,2695 9,2645 26,64 26,64 246,93948 246,80628 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-16 9,2695 9,2645 26,59 26,59 246,476005 246,343055 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-17 9,2695 9,2645 26,61 26,61 246,661395 246,528345 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-20 9,2255 9,2205 26,66 26,66 245,95183 245,81853 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-21 9,2725 9,2675 26,65 26,65 247,112125 246,978875 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-22 9,2615 9,2565 26,68 26,68 247,09682 246,96342 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-27 9,3855 9,3805 26,59 26,59 249,560445 249,427495 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-28 9,3995 9,3945 26,51 26,51 249,180745 249,048195 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-29 9,4215 9,4165 26,65 26,65 251,082975 250,949725 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-06-30 9,4415 9,4365 26,65 26,65 251,615975 251,482725 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-01 9,4595 9,4545 26,7 26,7 252,56865 252,43515 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-04 9,4795 9,4745 26,76 26,76 253,67142 253,53762 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-05 9,4575 9,4525 26,77 26,77 253,177275 253,043425 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-06 9,4195 9,4145 26,77 26,77 252,160015 252,026165 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-07 9,3965 9,3915 26,81 26,81 251,920165 251,786115 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-08 9,4175 9,4125 26,7 26,7 251,44725 251,31375 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-11 9,4665 9,4615 26,83 26,83 253,986195 253,852045 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-12 9,4645 9,4595 26,85 26,85 254,121825 253,987575 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-13 9,3915 9,3865 26,87 26,87 252,349605 252,215255 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-14 9,3675 9,3625 26,91 26,91 252,079425 251,944875 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-15 9,4055 9,4005 26,95 26,95 253,478225 253,343475 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-18 9,3895 9,3845 26,96 26,96 253,14092 253,00612 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-19 9,4425 9,4375 26,96 26,96 254,5698 254,435 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-20 9,4265 9,4215 27,07 27,07 255,175355 255,040005 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-21 9,4625 9,4575 27,08 27,08 256,2445 256,1091 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-22 9,4495 9,4445 27,02 27,02 255,32549 255,19039 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-25 9,4275 9,4225 27,01 27,01 254,636775 254,501725 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-26 9,4155 9,4105 27,01 27,01 254,312655 254,177605 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-27 9,4725 9,4675 27,04 27,04 256,1364 256,0012 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-28 9,4515 9,4465 27,06 27,06 255,75759 255,62229 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-07-29 9,3885 9,3835 27,14 27,14 254,80389 254,66819 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-01 9,3985 9,3935 27,1 27,1 254,69935 254,56385 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-02 9,3995 9,3945 27,09 27,09 254,632455 254,497005 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-03 9,3755 9,3705 27,17 27,17 254,732335 254,596485 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-04 9,3735 9,3685 27,16 27,16 254,58426 254,44846 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-05 9,3355 9,3305 27,02 27,02 252,24521 252,11011 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-08 9,3335 9,3285 26,98 26,98 251,81783 251,68293 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-09 9,3455 9,3405 26,99 26,99 252,235045 252,100095 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-10 9,3535 9,3485 27,14 27,14 253,85399 253,71829 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-11 9,3365 9,3315 27,21 27,21 254,046165 253,910115 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-12 9,3025 9,2975 27,19 27,19 252,934975 252,799025 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-16 9,2995 9,2945 27,19 27,19 252,853405 252,717455 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-17 9,3405 9,3355 27,01 27,01 252,286905 252,151855 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-18 9,3365 9,3315 27,02 27,02 252,27223 252,13713 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-19 9,3395 9,3345 26,97 26,97 251,886315 251,751465 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-22 9,3655 9,3605 27,09 27,09 253,711395 253,575945 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-23 9,3715 9,3665 27,07 27,07 253,686505 253,551155 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-24 9,3365 9,3315 26,97 26,97 251,805405 251,670555 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-25 9,3335 9,3285 26,97 26,97 251,724495 251,589645 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-26 9,3415 9,3365 26,83 26,83 250,632445 250,498295 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-29 9,3295 9,3245 26,72 26,72 249,28424 249,15064 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-30 9,3285 9,3235 26,83 26,83 250,283655 250,149505 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-08-31 9,3585 9,3535 26,79 26,79 250,714215 250,580265 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-01 9,3365 9,3315 26,87 26,87 250,871755 250,737405 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-02 9,3025 9,2975 26,89 26,89 250,144225 250,009775 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-05 9,2845 9,2795 26,89 26,89 249,660205 249,525755 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-06 9,3225 9,3175 26,99 26,99 251,614275 251,479325 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-07 9,3075 9,3025 27,16 27,16 252,7917 252,6559 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-08 9,3255 9,3205 27,18 27,18 253,46709 253,33119 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-09 9,3445 9,3395 27,16 27,16 253,79662 253,66082 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-12 9,3015 9,2965 27,24 27,24 253,37286 253,23666 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-13 9,3015 9,2965 27,18 27,18 252,81477 252,67887 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-14 9,3365 9,3315 27,09 27,09 252,925785 252,790335 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-15 9,3425 9,3375 27,11 27,11 253,275175 253,139625 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-16 9,3465 9,3415 27,1 27,1 253,29015 253,15465 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-19 9,3355 9,3305 27,25 27,25 254,392375 254,256125 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-20 9,3395 9,3345 27,21 27,21 254,127795 253,991745 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-21 9,3405 9,3355 27,21 27,21 254,155005 254,018955 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-22 9,3405 9,3355 27,02 27,02 252,38031 252,24521 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-23 9,3695 9,3645 27,04 27,04 253,35128 253,21608 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-26 9,3815 9,3765 27,15 27,15 254,707725 254,571975 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-27 9,3885 9,3835 27,31 27,31 256,399935 256,263385 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-28 9,3935 9,3885 27,31 27,31 256,536485 256,399935 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-29 9,3845 9,3795 27,4 27,4 257,1353 256,9983 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-09-30 9,3435 9,3385 27,49 27,49 256,852815 256,715365 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-03 9,3025 9,2975 27,46 27,46 255,44665 255,30935 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-04 9,3185 9,3135 27,53 27,53 256,538305 256,400655 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-05 9,3105 9,3055 27,57 27,57 256,690485 256,552635 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-06 9,3015 9,2965 27,4 27,4 254,8611 254,7241 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-07 9,3385 9,3335 27,19 27,19 253,913815 253,777865 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-10 9,3465 9,3415 27,25 27,25 254,692125 254,555875 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-11 9,3395 9,3345 27,28 27,28 254,78156 254,64516 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-12 9,3375 9,3325 27,3 27,3 254,91375 254,77725 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-13 9,3815 9,3765 27,16 27,16 254,80154 254,66574 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-14 9,4135 9,4085 27,09 27,09 255,011715 254,876265 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-17 9,4575 9,4525 27,19 27,19 257,149425 257,013475 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-18 9,4625 9,4575 27,18 27,18 257,19075 257,05485 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-19 9,4605 9,4555 27,1 27,1 256,37955 256,24405 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-20 9,4935 9,4885 27,01 27,01 256,419435 256,284385 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-21 9,4915 9,4865 26,9 26,9 255,32135 255,18685 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-24 9,5455 9,5405 26,95 26,95 257,251225 257,116475 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-25 9,5465 9,5415 27,07 27,07 258,423755 258,288405 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-26 9,4975 9,4925 26,9 26,9 255,48275 255,34825 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-27 9,5355 9,5305 26,96 26,96 257,07708 256,94228 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-28 9,5135 9,5085 26,78 26,78 254,77153 254,63763 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-10-31 9,5495 9,5445 26,87 26,87 256,595065 256,460715 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-02 9,5855 9,5805 27,04 27,04 259,19192 259,05672 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-03 9,6515 9,6465 27,14 27,14 261,94171 261,80601 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-04 9,5875 9,5825 27,22 27,22 260,97175 260,83565 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-07 9,6075 9,6025 27,16 27,16 260,9397 260,8039 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-08 9,5685 9,5635 27,25 27,25 260,741625 260,605375 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-09 9,5575 9,5525 27,23 27,23 260,250725 260,114575 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-10 9,6105 9,6055 27,27 27,27 262,078335 261,941985 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-11 9,6365 9,6315 27,32 27,32 263,26918 263,13258 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-14 9,5505 9,5455 27,39 27,39 261,588195 261,451245 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-15 9,5805 9,5755 27,43 27,43 262,793115 262,655965 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-16 9,6235 9,6185 27,41 27,41 263,780135 263,643085 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-17 9,6355 9,6305 27,32 27,32 263,24186 263,10526 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-18 9,6085 9,6035 27,41 27,41 263,368985 263,231935 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-21 9,5915 9,5865 27,52 27,52 263,95808 263,82048 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-22 9,5585 9,5535 27,59 27,59 263,719015 263,581065 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-23 9,5155 9,5105 27,59 27,59 262,532645 262,394695 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-24 9,5125 9,5075 27,66 27,66 263,11575 262,97745 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-25 9,4965 9,4915 27,64 27,64 262,48326 262,34506 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-28 9,4835 9,4785 27,65 27,65 262,218775 262,080525 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-29 9,4785 9,4735 27,6 27,6 261,6066 261,4686 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-11-30 9,5295 9,5245 27,64 27,64 263,39538 263,25718 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-01 9,5165 9,5115 27,61 27,61 262,750565 262,612515 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-02 9,4905 9,4855 27,8 27,8 263,8359 263,6969 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-05 9,4065 9,4015 27,87 27,87 262,159155 262,019805 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-06 9,4185 9,4135 27,79 27,79 261,740115 261,601165 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-07 9,4255 9,4205 27,87 27,87 262,688685 262,549335 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-08 9,3965 9,3915 27,8 27,8 261,2227 261,0837 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-12 9,4315 9,4265 27,8 27,8 262,1957 262,0567 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-13 9,4295 9,4245 27,86 27,86 262,70587 262,56657 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-14 9,4365 9,4315 27,92 27,92 263,46708 263,32748 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-15 9,4345 9,4295 27,88 27,88 263,03386 262,89446 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-16 9,4765 9,4715 27,88 27,88 264,20482 264,06542 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-19 9,4535 9,4485 28,01 28,01 264,792535 264,652485 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-20 9,4015 9,3965 27,99 27,99 263,147985 263,008035 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-21 9,4485 9,4435 28,03 28,03 264,841455 264,701305 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-22 9,4365 9,4315 28,13 28,13 265,448745 265,308095 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-23 9,4425 9,4375 28,13 28,13 265,617525 265,476875 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-27 9,4915 9,4865 28,16 28,16 267,28064 267,13984 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-28 9,4345 9,4295 28,2 28,2 266,0529 265,9119 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-29 9,4115 9,4065 28,17 28,17 265,121955 264,981105 741280 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund Euro EUR 2005-12-30 9,4325 9,4275 28,2 28,2 265,9965 265,8555 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-03 6,668 6,658 25,63 25,63 170,90084 170,64454 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-04 6,728 6,718 25,58 25,58 172,10224 171,84644 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-05 6,828 6,818 25,51 25,51 174,18228 173,92718 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-07 6,87 6,86 25,5 25,5 175,185 174,93 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-10 6,96091 6,95091 25,48 25,48 177,3639868 177,1091868 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-11 6,96091 6,95091 25,52 25,52 177,6424232 177,3872232 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-12 6,913 6,903 25,48 25,48 176,14324 175,88844 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-13 6,843 6,833 25,5 25,5 174,4965 174,2415 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-14 6,915 6,905 25,43 25,43 175,84845 175,59415 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-17 6,915 6,905 25,47 25,47 176,12505 175,87035 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-18 6,968 6,958 25,48 25,48 177,54464 177,28984 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-19 6,91 6,9 25,55 25,55 176,5505 176,295 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-20 6,96 6,95 25,48 25,48 177,3408 177,086 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-21 6,978 6,968 25,44 25,44 177,52032 177,26592 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-24 6,933 6,923 25,39 25,39 176,02887 175,77497 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-25 6,95 6,94 25,38 25,38 176,391 176,1372 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-26 6,995 6,985 25,4 25,4 177,673 177,419 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-27 6,93 6,92 25,42 25,42 176,1606 175,9064 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-28 6,985 6,975 25,43 25,43 177,62855 177,37425 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-01-31 6,998 6,988 25,42 25,42 177,88916 177,63496 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-01 6,993 6,983 25,48 25,48 178,18164 177,92684 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-02 6,953 6,943 25,53 25,53 177,51009 177,25479 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-03 6,968 6,958 25,55 25,55 178,0324 177,7769 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-04 7,01 7 25,53 25,53 178,9653 178,71 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-07 7,065 7,055 25,62 25,62 181,0053 180,7491 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-08 7,123 7,113 25,61 25,61 182,42003 182,16393 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-09 7,1 7,09 25,62 25,62 181,902 181,6458 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-10 7,088 7,078 25,55 25,55 181,0984 180,8429 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-11 7,068 7,058 25,58 25,58 180,79944 180,54364 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-14 7,03 7,02 25,64 25,64 180,2492 179,9928 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-15 7,005 6,995 25,65 25,65 179,67825 179,42175 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-16 6,973 6,963 25,68 25,68 179,06664 178,80984 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-17 6,97 6,96 25,68 25,68 178,9896 178,7328 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-18 6,965 6,955 25,61 25,61 178,37365 178,11755 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-21 6,978 6,968 25,62 25,62 178,77636 178,52016 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-22 6,905 6,895 25,62 25,62 176,9061 176,6499 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-23 6,895 6,885 25,51 25,51 175,89145 175,63635 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-24 6,858 6,848 25,56 25,56 175,29048 175,03488 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-25 6,885 6,875 25,61 25,61 176,32485 176,06875 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-02-28 6,828 6,818 25,68 25,68 175,34304 175,08624 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-01 6,87 6,86 25,64 25,64 176,1468 175,8904 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-02 6,888 6,878 25,68 25,68 176,88384 176,62704 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-03 6,903 6,893 25,68 25,68 177,26904 177,01224 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-04 6,9 6,89 25,68 25,68 177,192 176,9352 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-07 6,84 6,83 25,76 25,76 176,1984 175,9408 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-08 6,825 6,815 25,78 25,78 175,9485 175,6907 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-09 6,76 6,75 25,75 25,75 174,07 173,8125 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-10 6,745 6,735 25,66 25,66 173,0767 172,8201 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-11 6,765 6,755 25,68 25,68 173,7252 173,4684 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-14 6,76 6,75 25,62 25,62 173,1912 172,935 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-15 6,815 6,805 25,68 25,68 175,0092 174,7524 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-16 6,81 6,8 25,62 25,62 174,4722 174,216 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-17 6,795 6,785 25,55 25,55 173,61225 173,35675 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-18 6,828 6,818 25,56 25,56 174,52368 174,26808 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-21 6,908 6,898 25,55 25,55 176,4994 176,2439 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-22 6,928 6,918 25,53 25,53 176,87184 176,61654 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-23 6,973 6,963 25,45 25,45 177,46285 177,20835 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-24 7,008 6,998 25,45 25,45 178,3536 178,0991 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-29 7,055 7,045 25,48 25,48 179,7614 179,5066 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-30 7,053 7,043 25,43 25,43 179,35779 179,10349 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-03-31 7,065 7,055 25,53 25,53 180,36945 180,11415 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-01 7,07 7,06 25,52 25,52 180,4264 180,1712 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-04 7,113 7,103 25,48 25,48 181,23924 180,98444 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-05 7,163 7,153 25,5 25,5 182,6565 182,4015 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-06 7,125 7,115 25,54 25,54 181,9725 181,7171 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-07 7,083 7,073 25,56 25,56 181,04148 180,78588 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-08 7,153 7,143 25,62 25,62 183,25986 183,00366 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-11 7,098 7,088 25,56 25,56 181,42488 181,16928 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-12 7,048 7,038 25,54 25,54 180,00592 179,75052 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-13 7,075 7,065 25,59 25,59 181,04925 180,79335 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-14 7,12 7,11 25,49 25,49 181,4888 181,2339 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-15 7,17 7,16 25,39 25,39 182,0463 181,7924 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-18 7,08 7,07 25,27 25,27 178,9116 178,6589 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-19 7,068 7,058 25,29 25,29 178,74972 178,49682 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-20 7,043 7,033 25,33 25,33 178,39919 178,14589 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-21 7,025 7,015 25,26 25,26 177,4515 177,1989 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-22 7,023 7,013 25,37 25,37 178,17351 177,91981 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-25 7,04 7,03 25,34 25,34 178,3936 178,1402 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-26 7,035 7,025 25,4 25,4 178,689 178,435 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-27 7,085 7,075 25,34 25,34 179,5339 179,2805 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-28 7,085 7,075 25,36 25,36 179,6756 179,422 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-04-29 7,08 7,07 25,29 25,29 179,0532 178,8003 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-02 7,15 7,14 25,37 25,37 181,3955 181,1418 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-03 7,178 7,168 25,41 25,41 182,39298 182,13888 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-04 7,11 7,1 25,41 25,41 180,6651 180,411 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-06 7,085 7,075 25,45 25,45 180,31325 180,05875 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-09 7,168 7,158 25,45 25,45 182,4256 182,1711 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-10 7,178 7,168 25,49 25,49 182,96722 182,71232 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-11 7,15 7,14 25,43 25,43 181,8245 181,5702 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-12 7,243 7,233 25,46 25,46 184,40678 184,15218 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-13 7,265 7,255 25,39 25,39 184,45835 184,20445 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-17 7,313 7,303 25,44 25,44 186,04272 185,78832 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-18 7,3 7,29 25,48 25,48 186,004 185,7492 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-19 7,26 7,25 25,52 25,52 185,2752 185,02 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-20 7,28 7,27 25,55 25,55 186,004 185,7485 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-23 7,32 7,31 25,55 25,55 187,026 186,7705 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-24 7,295 7,285 25,58 25,58 186,6061 186,3503 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-25 7,298 7,288 25,57 25,57 186,60986 186,35416 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-26 7,33 7,32 25,56 25,56 187,3548 187,0992 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-27 7,338 7,328 25,59 25,59 187,77942 187,52352 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-30 7,338 7,328 25,6 25,6 187,8528 187,5968 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-05-31 7,403 7,393 25,61 25,61 189,59083 189,33473 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-01 7,428 7,418 25,57 25,57 189,93396 189,67826 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-02 7,473 7,463 25,61 25,61 191,38353 191,12743 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-03 7,438 7,428 25,63 25,63 190,63594 190,37964 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-07 7,448 7,438 25,6 25,6 190,6688 190,4128 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-08 7,435 7,425 25,6 25,6 190,336 190,08 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-09 7,523 7,513 25,59 25,59 192,51357 192,25767 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-10 7,525 7,515 25,62 25,62 192,7905 192,5343 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-13 7,643 7,633 25,61 25,61 195,73723 195,48113 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-14 7,663 7,653 25,63 25,63 196,40269 196,14639 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-15 7,693 7,683 25,65 25,65 197,32545 197,06895 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-16 7,678 7,668 25,66 25,66 197,01748 196,76088 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-17 7,643 7,633 25,68 25,68 196,27224 196,01544 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-20 7,543 7,533 25,71 25,71 193,93053 193,67343 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-21 7,648 7,638 25,71 25,71 196,63008 196,37298 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-22 7,608 7,598 25,71 25,71 195,60168 195,34458 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-27 7,73 7,72 25,53 25,53 197,3469 197,0916 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-28 7,76 7,75 25,53 25,53 198,1128 197,8575 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-29 7,833 7,823 25,63 25,63 200,75979 200,50349 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-06-30 7,823 7,813 25,63 25,63 200,50349 200,24719 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-01 7,858 7,848 25,55 25,55 200,7719 200,5164 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-04 7,945 7,935 25,58 25,58 203,2331 202,9773 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-05 7,963 7,953 25,59 25,59 203,77317 203,51727 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-06 7,895 7,885 25,66 25,66 202,5857 202,3291 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-07 7,878 7,868 25,59 25,59 201,59802 201,34212 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-08 7,913 7,903 25,6 25,6 202,5728 202,3168 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-11 7,89 7,88 25,71 25,71 202,8519 202,5948 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-12 7,77 7,76 25,76 25,76 200,1552 199,8976 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-13 7,703 7,693 25,78 25,78 198,58334 198,32554 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-14 7,76 7,75 25,79 25,79 200,1304 199,8725 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-15 7,76 7,75 25,81 25,81 200,2856 200,0275 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-18 7,78 7,77 25,82 25,82 200,8796 200,6214 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-19 7,878 7,868 25,78 25,78 203,09484 202,83704 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-20 7,818 7,808 25,84 25,84 202,01712 201,75872 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-21 7,775 7,765 25,87 25,87 201,13925 200,88055 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-22 7,758 7,748 25,82 25,82 200,31156 200,05336 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-25 7,838 7,828 25,88 25,88 202,84744 202,58864 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-26 7,818 7,808 25,85 25,85 202,0953 201,8368 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-27 7,905 7,895 25,87 25,87 204,50235 204,24365 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-28 7,848 7,838 25,9 25,9 203,2632 203,0042 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-07-29 7,748 7,738 25,95 25,95 201,0606 200,8011 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-01 7,72 7,71 25,88 25,88 199,7936 199,5348 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-02 7,7 7,69 25,9 25,9 199,43 199,171 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-03 7,685 7,675 25,97 25,97 199,57945 199,31975 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-04 7,618 7,608 25,98 25,98 197,91564 197,65584 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-05 7,548 7,538 25,92 25,92 195,64416 195,38496 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-08 7,558 7,548 25,86 25,86 195,44988 195,19128 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-09 7,548 7,538 25,85 25,85 195,1158 194,8573 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-10 7,558 7,548 25,92 25,92 195,90336 195,64416 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-11 7,523 7,513 25,9 25,9 194,8457 194,5867 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-12 7,46 7,45 25,96 25,96 193,6616 193,402 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-16 7,523 7,513 25,93 25,93 195,07139 194,81209 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-17 7,605 7,595 25,83 25,83 196,43715 196,17885 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-18 7,61 7,6 25,83 25,83 196,5663 196,308 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-19 7,698 7,688 25,83 25,83 198,83934 198,58104 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-22 7,69 7,68 25,84 25,84 198,7096 198,4512 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-23 7,663 7,653 25,85 25,85 198,08855 197,83005 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-24 7,673 7,663 25,83 25,83 198,19359 197,93529 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-25 7,588 7,578 25,76 25,76 195,46688 195,20928 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-26 7,578 7,568 25,79 25,79 195,43662 195,17872 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-29 7,573 7,563 25,74 25,74 194,92902 194,67162 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-30 7,633 7,623 25,8 25,8 196,9314 196,6734 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-08-31 7,668 7,658 25,78 25,78 197,68104 197,42324 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-01 7,568 7,558 25,85 25,85 195,6328 195,3743 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-02 7,435 7,425 25,85 25,85 192,19475 191,93625 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-05 7,41 7,4 25,82 25,82 191,3262 191,068 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-06 7,485 7,475 25,82 25,82 193,2627 193,0045 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-07 7,43 7,42 25,93 25,93 192,6599 192,4006 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-08 7,498 7,488 25,96 25,96 194,64808 194,38848 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-09 7,523 7,513 25,95 25,95 195,22185 194,96235 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-12 7,555 7,545 26 26 196,43 196,17 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-13 7,57 7,56 26 26 196,82 196,56 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-14 7,61 7,6 25,94 25,94 197,4034 197,144 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-15 7,658 7,648 25,91 25,91 198,41878 198,15968 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-16 7,613 7,603 25,92 25,92 197,32896 197,06976 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-19 7,698 7,688 25,99 25,99 200,07102 199,81112 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-20 7,688 7,678 25,95 25,95 199,5036 199,2441 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-21 7,663 7,653 25,87 25,87 198,24181 197,98311 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-22 7,648 7,638 25,79 25,79 197,24192 196,98402 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-23 7,733 7,723 25,83 25,83 199,74339 199,48509 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-26 7,798 7,788 25,84 25,84 201,50032 201,24192 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-27 7,825 7,815 25,85 25,85 202,27625 202,01775 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-28 7,81 7,8 25,84 25,84 201,8104 201,552 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-29 7,785 7,775 25,86 25,86 201,3201 201,0615 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-09-30 7,785 7,775 25,93 25,93 201,86505 201,60575 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-03 7,783 7,773 25,94 25,94 201,89102 201,63162 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-04 7,82 7,81 25,94 25,94 202,8508 202,5914 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-05 7,795 7,785 25,85 25,85 201,50075 201,24225 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-06 7,713 7,703 25,73 25,73 198,45549 198,19819 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-07 7,683 7,673 25,7 25,7 197,4531 197,1961 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-10 7,698 7,688 25,7 25,7 197,8386 197,5816 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-11 7,77 7,76 25,68 25,68 199,5336 199,2768 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-12 7,805 7,795 25,66 25,66 200,2763 200,0197 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-13 7,83 7,82 25,6 25,6 200,448 200,192 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-14 7,833 7,823 25,6 25,6 200,5248 200,2688 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-17 7,835 7,825 25,69 25,69 201,28115 201,02425 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-18 7,893 7,883 25,73 25,73 203,08689 202,82959 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-19 7,96 7,95 25,63 25,63 204,0148 203,7585 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-20 7,93 7,92 25,77 25,77 204,3561 204,0984 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-21 7,883 7,873 25,63 25,63 202,04129 201,78499 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-24 7,995 7,985 25,65 25,65 205,07175 204,81525 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-25 7,99 7,98 25,8 25,8 206,142 205,884 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-26 7,868 7,858 25,78 25,78 202,83704 202,57924 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-27 7,868 7,858 25,75 25,75 202,601 202,3435 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-28 7,825 7,815 25,64 25,64 200,633 200,3766 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-10-31 7,905 7,895 25,85 25,85 204,34425 204,08575 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-02 7,98 7,97 25,85 25,85 206,283 206,0245 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-03 8,01 8 25,95 25,95 207,8595 207,6 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-04 8,028 8,018 25,98 25,98 208,56744 208,30764 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-07 8,135 8,125 25,97 25,97 211,26595 211,00625 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-08 8,17 8,16 26 26 212,42 212,16 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-09 8,12 8,11 25,97 25,97 210,8764 210,6167 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-10 8,173 8,163 25,99 25,99 212,41627 212,15637 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-11 8,235 8,225 26,08 26,08 214,7688 214,508 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-14 8,133 8,123 26,09 26,09 212,18997 211,92907 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-15 8,185 8,175 26,08 26,08 213,4648 213,204 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-16 8,21 8,2 26,05 26,05 213,8705 213,61 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-17 8,258 8,248 26,06 26,06 215,20348 214,94288 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-18 8,223 8,213 26,15 26,15 215,03145 214,76995 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-21 8,123 8,113 26,19 26,19 212,74137 212,47947 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-22 8,15 8,14 26,24 26,24 213,856 213,5936 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-23 8,048 8,038 26,26 26,26 211,34048 211,07788 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-24 8,053 8,043 26,32 26,32 211,95496 211,69176 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-25 8,078 8,068 26,32 26,32 212,61296 212,34976 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-28 8,118 8,108 26,34 26,34 213,82812 213,56472 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-29 8,015 8,005 26,25 26,25 210,39375 210,13125 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-11-30 8,088 8,078 26,28 26,28 212,55264 212,28984 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-01 8,083 8,073 26,21 26,21 211,85543 211,59333 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-02 8,103 8,093 26,36 26,36 213,59508 213,33148 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-05 8,045 8,035 26,36 26,36 212,0662 211,8026 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-06 7,993 7,983 26,34 26,34 210,53562 210,27222 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-07 8,015 8,005 26,36 26,36 211,2754 211,0118 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-08 7,988 7,978 26,3 26,3 210,0844 209,8214 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-12 7,953 7,943 26,31 26,31 209,24343 208,98033 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-13 7,905 7,895 26,32 26,32 208,0596 207,7964 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-14 7,848 7,838 26,39 26,39 207,10872 206,84482 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-15 7,858 7,848 26,43 26,43 207,68694 207,42264 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-16 7,903 7,893 26,41 26,41 208,71823 208,45413 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-19 7,865 7,855 26,39 26,39 207,55735 207,29345 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-20 7,848 7,838 26,48 26,48 207,81504 207,55024 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-21 7,948 7,938 26,5 26,5 210,622 210,357 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-22 7,98 7,97 26,36 26,36 210,3528 210,0892 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-23 7,955 7,945 26,59 26,59 211,52345 211,25755 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-27 8,01 8 26,42 26,42 211,6242 211,36 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-28 7,915 7,905 26,3 26,3 208,1645 207,9015 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-29 7,938 7,928 26,32 26,32 208,92816 208,66496 777110 ING Investment Management Belgium S.A. ING Index Linked Fund - ING Contiuous Click Fund US USD 2005-12-30 7,958 7,948 26,28 26,28 209,13624 208,87344 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-03 6,668 6,658 34,9 34,9 232,7132 232,3642 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-04 6,728 6,718 34,8 34,8 234,1344 233,7864 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-05 6,828 6,818 34,81 34,81 237,68268 237,33458 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-07 6,87 6,86 33,29 33,29 228,7023 228,3694 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-10 6,96091 6,95091 33,45 33,45 232,8424395 232,5079395 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-11 6,96091 6,95091 33,52 33,52 233,3297032 232,9945032 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-12 6,913 6,903 33,57 33,57 232,06941 231,73371 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-13 6,843 6,833 33,69 33,69 230,54067 230,20377 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-14 6,915 6,905 33,84 33,84 234,0036 233,6652 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-17 6,915 6,905 34,15 34,15 236,14725 235,80575 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-18 6,968 6,958 34,39 34,39 239,62952 239,28562 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-19 6,91 6,9 34,18 34,18 236,1838 235,842 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-20 6,96 6,95 34,09 34,09 237,2664 236,9255 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-21 6,978 6,968 33,83 33,83 236,06574 235,72744 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-24 6,933 6,923 33,93 33,93 235,23669 234,89739 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-25 6,95 6,94 33,96 33,96 236,022 235,6824 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-26 6,995 6,985 33,98 33,98 237,6901 237,3503 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-27 6,93 6,92 34,45 34,45 238,7385 238,394 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-28 6,985 6,975 34,45 34,45 240,63325 240,28875 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-01-31 6,998 6,988 34,54 34,54 241,71092 241,36552 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-01 6,993 6,983 34,93 34,93 244,26549 243,91619 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-02 6,953 6,943 34,95 34,95 243,00735 242,65785 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-03 6,968 6,958 34,95 34,95 243,5316 243,1821 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-04 7,01 7 35,07 35,07 245,8407 245,49 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-07 7,065 7,055 35,29 35,29 249,32385 248,97095 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-08 7,123 7,113 35,47 35,47 252,65281 252,29811 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-09 7,1 7,09 35,38 35,38 251,198 250,8442 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-10 7,088 7,078 35,37 35,37 250,70256 250,34886 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-11 7,068 7,058 35,35 35,35 249,8538 249,5003 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-14 7,03 7,02 35,5 35,5 249,565 249,21 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-15 7,005 6,995 35,89 35,89 251,40945 251,05055 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-16 6,973 6,963 35,94 35,94 250,60962 250,25022 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-17 6,97 6,96 35,94 35,94 250,5018 250,1424 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-18 6,965 6,955 35,93 35,93 250,25245 249,89315 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-21 6,978 6,968 36,14 36,14 252,18492 251,82352 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-22 6,905 6,895 36,18 36,18 249,8229 249,4611 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-23 6,895 6,885 36,48 36,48 251,5296 251,1648 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-24 6,858 6,848 36,52 36,52 250,45416 250,08896 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-25 6,885 6,875 36,94 36,94 254,3319 253,9625 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-02-28 6,828 6,818 37,32 37,32 254,82096 254,44776 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-01 6,87 6,86 37,65 37,65 258,6555 258,279 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-02 6,888 6,878 37,38 37,38 257,47344 257,09964 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-03 6,903 6,893 37,02 37,02 255,54906 255,17886 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-04 6,9 6,89 37,17 37,17 256,473 256,1013 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-07 6,84 6,83 37,39 37,39 255,7476 255,3737 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-08 6,825 6,815 37,57 37,57 256,41525 256,03955 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-09 6,76 6,75 37,51 37,51 253,5676 253,1925 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-10 6,745 6,735 37,43 37,43 252,46535 252,09105 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-11 6,765 6,755 37 37 250,305 249,935 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-14 6,76 6,75 37,11 37,11 250,8636 250,4925 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-15 6,815 6,805 36,58 36,58 249,2927 248,9269 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-16 6,81 6,8 35,99 35,99 245,0919 244,732 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-17 6,795 6,785 35,88 35,88 243,8046 243,4458 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-18 6,828 6,818 35,78 35,78 244,30584 243,94804 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-21 6,908 6,898 35,85 35,85 247,6518 247,2933 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-22 6,928 6,918 35,5 35,5 245,944 245,589 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-23 6,973 6,963 35,28 35,28 246,00744 245,65464 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-24 7,008 6,998 34,66 34,66 242,89728 242,55068 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-29 7,055 7,045 34,59 34,59 244,03245 243,68655 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-30 7,053 7,043 34,16 34,16 240,93048 240,58888 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-03-31 7,065 7,055 34,33 34,33 242,54145 242,19815 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-01 7,07 7,06 34,9 34,9 246,743 246,394 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-04 7,113 7,103 35,4 35,4 251,8002 251,4462 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-05 7,163 7,153 35,03 35,03 250,91989 250,56959 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-06 7,125 7,115 35,06 35,06 249,8025 249,4519 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-07 7,083 7,073 35,21 35,21 249,39243 249,04033 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-08 7,153 7,143 35,4 35,4 253,2162 252,8622 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-11 7,098 7,088 35,46 35,46 251,69508 251,34048 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-12 7,048 7,038 35,4 35,4 249,4992 249,1452 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-13 7,075 7,065 35,34 35,34 250,0305 249,6771 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-14 7,12 7,11 35,33 35,33 251,5496 251,1963 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-15 7,17 7,16 34,67 34,67 248,5839 248,2372 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-18 7,08 7,07 34,15 34,15 241,782 241,4405 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-19 7,068 7,058 33,78 33,78 238,75704 238,41924 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-20 7,043 7,033 34,22 34,22 241,01146 240,66926 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-21 7,025 7,015 34,22 34,22 240,3955 240,0533 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-22 7,023 7,013 34,48 34,48 242,15304 241,80824 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-25 7,04 7,03 34,58 34,58 243,4432 243,0974 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-26 7,035 7,025 34,79 34,79 244,74765 244,39975 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-27 7,085 7,075 34,87 34,87 247,05395 246,70525 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-28 7,085 7,075 34,49 34,49 244,36165 244,01675 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-04-29 7,08 7,07 33,86 33,86 239,7288 239,3902 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-02 7,15 7,14 33,81 33,81 241,7415 241,4034 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-03 7,178 7,168 33,95 33,95 243,6931 243,3536 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-04 7,11 7,1 34,09 34,09 242,3799 242,039 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-06 7,085 7,075 35,05 35,05 248,32925 247,97875 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-09 7,168 7,158 35,31 35,31 253,10208 252,74898 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-10 7,178 7,168 35,31 35,31 253,45518 253,10208 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-11 7,15 7,14 35,1 35,1 250,965 250,614 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-12 7,243 7,233 34,99 34,99 253,43257 253,08267 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-13 7,265 7,255 34,75 34,75 252,45875 252,11125 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-17 7,313 7,303 34,64 34,64 253,32232 252,97592 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-18 7,3 7,29 34,6 34,6 252,58 252,234 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-19 7,26 7,25 34,96 34,96 253,8096 253,46 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-20 7,28 7,27 35,29 35,29 256,9112 256,5583 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-23 7,32 7,31 35,24 35,24 257,9568 257,6044 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-24 7,295 7,285 35 35 255,325 254,975 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-25 7,298 7,288 35,2 35,2 256,8896 256,5376 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-26 7,33 7,32 35,05 35,05 256,9165 256,566 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-27 7,338 7,328 35,18 35,18 258,15084 257,79904 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-30 7,338 7,328 35,53 35,53 260,71914 260,36384 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-05-31 7,403 7,393 35,65 35,65 263,91695 263,56045 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-01 7,428 7,418 35,37 35,37 262,72836 262,37466 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-02 7,473 7,463 35,43 35,43 264,76839 264,41409 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-03 7,438 7,428 35,76 35,76 265,98288 265,62528 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-07 7,448 7,438 35,88 35,88 267,23424 266,87544 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-08 7,435 7,425 35,75 35,75 265,80125 265,44375 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-09 7,523 7,513 35,83 35,83 269,54909 269,19079 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-10 7,525 7,515 35,67 35,67 268,41675 268,06005 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-13 7,643 7,633 35,9 35,9 274,3837 274,0247 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-14 7,663 7,653 35,98 35,98 275,71474 275,35494 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-15 7,693 7,683 36,11 36,11 277,79423 277,43313 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-16 7,678 7,668 36,35 36,35 279,0953 278,7318 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-17 7,643 7,633 36,64 36,64 280,03952 279,67312 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-20 7,543 7,533 36,86 36,86 278,03498 277,66638 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-21 7,648 7,638 36,84 36,84 281,75232 281,38392 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-22 7,608 7,598 36,79 36,79 279,89832 279,53042 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-27 7,73 7,72 36,74 36,74 284,0002 283,6328 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-28 7,76 7,75 36,71 36,71 284,8696 284,5025 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-29 7,833 7,823 36,88 36,88 288,88104 288,51224 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-06-30 7,823 7,813 36,86 36,86 288,35578 287,98718 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-01 7,858 7,848 36,8 36,8 289,1744 288,8064 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-04 7,945 7,935 37,09 37,09 294,68005 294,30915 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-05 7,963 7,953 37,05 37,05 295,02915 294,65865 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-06 7,895 7,885 36,89 36,89 291,24655 290,87765 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-07 7,878 7,868 36,96 36,96 291,17088 290,80128 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-08 7,913 7,903 36,8 36,8 291,1984 290,8304 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-11 7,89 7,88 36,91 36,91 291,2199 290,8508 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-12 7,77 7,76 37,42 37,42 290,7534 290,3792 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-13 7,703 7,693 37,93 37,93 292,17479 291,79549 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-14 7,76 7,75 38,13 38,13 295,8888 295,5075 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-15 7,76 7,75 38,32 38,32 297,3632 296,98 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-18 7,78 7,77 38,03 38,03 295,8734 295,4931 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-19 7,878 7,868 38,06 38,06 299,83668 299,45608 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-20 7,818 7,808 38,24 38,24 298,96032 298,57792 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-21 7,775 7,765 38,48 38,48 299,182 298,7972 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-22 7,758 7,748 38,71 38,71 300,31218 299,92508 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-25 7,838 7,828 38,9 38,9 304,8982 304,5092 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-26 7,818 7,808 38,68 38,68 302,40024 302,01344 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-27 7,905 7,895 38,59 38,59 305,05395 304,66805 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-28 7,848 7,838 38,92 38,92 305,44416 305,05496 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-07-29 7,748 7,738 39,31 39,31 304,57388 304,18078 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-01 7,72 7,71 39,47 39,47 304,7084 304,3137 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-02 7,7 7,69 39,81 39,81 306,537 306,1389 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-03 7,685 7,675 40,31 40,31 309,78235 309,37925 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-04 7,618 7,608 40,49 40,49 308,45282 308,04792 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-05 7,548 7,538 40,49 40,49 305,61852 305,21362 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-08 7,558 7,548 40,21 40,21 303,90718 303,50508 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-09 7,548 7,538 40,25 40,25 303,807 303,4045 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-10 7,558 7,548 40,41 40,41 305,41878 305,01468 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-11 7,523 7,513 40,89 40,89 307,61547 307,20657 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-12 7,46 7,45 40,74 40,74 303,9204 303,513 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-16 7,523 7,513 40,74 40,74 306,48702 306,07962 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-17 7,605 7,595 40,35 40,35 306,86175 306,45825 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-18 7,61 7,6 40,28 40,28 306,5308 306,128 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-19 7,698 7,688 39,85 39,85 306,7653 306,3668 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-22 7,69 7,68 39,65 39,65 304,9085 304,512 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-23 7,663 7,653 40,23 40,23 308,28249 307,88019 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-24 7,673 7,663 39,96 39,96 306,61308 306,21348 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-25 7,588 7,578 39,66 39,66 300,94008 300,54348 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-26 7,578 7,568 39,89 39,89 302,28642 301,88752 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-29 7,573 7,563 39,8 39,8 301,4054 301,0074 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-30 7,633 7,623 39,6 39,6 302,2668 301,8708 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-08-31 7,668 7,658 39,63 39,63 303,88284 303,48654 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-01 7,568 7,558 40,13 40,13 303,70384 303,30254 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-02 7,435 7,425 40,74 40,74 302,9019 302,4945 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-05 7,41 7,4 41,15 41,15 304,9215 304,51 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-06 7,485 7,475 41,16 41,16 308,0826 307,671 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-07 7,43 7,42 41,32 41,32 307,0076 306,5944 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-08 7,498 7,488 41,42 41,42 310,56716 310,15296 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-09 7,523 7,513 41,57 41,57 312,73111 312,31541 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-12 7,555 7,545 42,02 42,02 317,4611 317,0409 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-13 7,57 7,56 42,09 42,09 318,6213 318,2004 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-14 7,61 7,6 41,95 41,95 319,2395 318,82 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-15 7,658 7,648 42,08 42,08 322,24864 321,82784 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-16 7,613 7,603 42,34 42,34 322,33442 321,91102 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-19 7,698 7,688 42,52 42,52 327,31896 326,89376 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-20 7,688 7,678 42,76 42,76 328,73888 328,31128 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-21 7,663 7,653 43,03 43,03 329,73889 329,30859 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-22 7,648 7,638 43,45 43,45 332,3056 331,8711 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-23 7,733 7,723 43,04 43,04 332,82832 332,39792 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-26 7,798 7,788 42,71 42,71 333,05258 332,62548 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-27 7,825 7,815 43,06 43,06 336,9445 336,5139 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-28 7,81 7,8 43,19 43,19 337,3139 336,882 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-29 7,785 7,775 43,58 43,58 339,2703 338,8345 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-09-30 7,785 7,775 43,82 43,82 341,1387 340,7005 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-03 7,783 7,773 44,07 44,07 342,99681 342,55611 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-04 7,82 7,81 44,23 44,23 345,8786 345,4363 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-05 7,795 7,785 44,27 44,27 345,08465 344,64195 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-06 7,713 7,703 43,48 43,48 335,36124 334,92644 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-07 7,683 7,673 42,3 42,3 324,9909 324,5679 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-10 7,698 7,688 42,46 42,46 326,85708 326,43248 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-11 7,77 7,76 42,7 42,7 331,779 331,352 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-12 7,805 7,795 43,01 43,01 335,69305 335,26295 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-13 7,83 7,82 42,29 42,29 331,1307 330,7078 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-14 7,833 7,823 41,54 41,54 325,38282 324,96742 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-17 7,835 7,825 41,21 41,21 322,88035 322,46825 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-18 7,893 7,883 41,45 41,45 327,16485 326,75035 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-19 7,96 7,95 41,05 41,05 326,758 326,3475 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-20 7,93 7,92 40,55 40,55 321,5615 321,156 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-21 7,883 7,873 40,35 40,35 318,07905 317,67555 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-24 7,995 7,985 40,71 40,71 325,47645 325,06935 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-25 7,99 7,98 41,09 41,09 328,3091 327,8982 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-26 7,868 7,858 40,97 40,97 322,35196 321,94226 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-27 7,868 7,858 41,09 41,09 323,29612 322,88522 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-28 7,825 7,815 40,56 40,56 317,382 316,9764 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-10-31 7,905 7,895 40,52 40,52 320,3106 319,9054 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-02 7,98 7,97 40,52 40,52 323,3496 322,9444 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-03 8,01 8 42,53 42,53 340,6653 340,24 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-04 8,028 8,018 42,99 42,99 345,12372 344,69382 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-07 8,135 8,125 42,88 42,88 348,8288 348,4 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-08 8,17 8,16 42,79 42,79 349,5943 349,1664 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-09 8,12 8,11 42,82 42,82 347,6984 347,2702 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-10 8,173 8,163 42,97 42,97 351,19381 350,76411 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-11 8,235 8,225 42,94 42,94 353,6109 353,1815 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-14 8,133 8,123 43,27 43,27 351,91491 351,48221 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-15 8,185 8,175 43,28 43,28 354,2468 353,814 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-16 8,21 8,2 43,13 43,13 354,0973 353,666 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-17 8,258 8,248 43,38 43,38 358,23204 357,79824 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-18 8,223 8,213 43,74 43,74 359,67402 359,23662 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-21 8,123 8,113 43,8 43,8 355,7874 355,3494 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-22 8,15 8,14 43,89 43,89 357,7035 357,2646 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-23 8,048 8,038 43,48 43,48 349,92704 349,49224 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-24 8,053 8,043 44,07 44,07 354,89571 354,45501 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-25 8,078 8,068 44,23 44,23 357,28994 356,84764 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-28 8,118 8,108 44,33 44,33 359,87094 359,42764 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-29 8,015 8,005 44,32 44,32 355,2248 354,7816 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-11-30 8,088 8,078 44,25 44,25 357,894 357,4515 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-01 8,083 8,073 44,35 44,35 358,48105 358,03755 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-02 8,103 8,093 44,69 44,69 362,12307 361,67617 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-05 8,045 8,035 45,05 45,05 362,42725 361,97675 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-06 7,993 7,983 45,21 45,21 361,36353 360,91143 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-07 8,015 8,005 45,63 45,63 365,72445 365,26815 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-08 7,988 7,978 45,7 45,7 365,0516 364,5946 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-12 7,953 7,943 45,12 45,12 358,83936 358,38816 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-13 7,905 7,895 45,41 45,41 358,96605 358,51195 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-14 7,848 7,838 45,53 45,53 357,31944 356,86414 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-15 7,858 7,848 45,68 45,68 358,95344 358,49664 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-16 7,903 7,893 45,62 45,62 360,53486 360,07866 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-19 7,865 7,855 45,67 45,67 359,19455 358,73785 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-20 7,848 7,838 45,84 45,84 359,75232 359,29392 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-21 7,948 7,938 45,89 45,89 364,73372 364,27482 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-22 7,98 7,97 46,48 46,48 370,9104 370,4456 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-23 7,955 7,945 46,52 46,52 370,0666 369,6014 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-27 8,01 8 46,62 46,62 373,4262 372,96 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-28 7,915 7,905 46,67 46,67 369,39305 368,92635 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-29 7,938 7,928 46,54 46,54 369,43452 368,96912 828111 ING Investment Management Belgium S.A. ING (L) Invest Emerging Markets USD 2005-12-30 7,958 7,948 46,93 46,93 373,46894 372,99964 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-03 9,0065 9,0015 97,06 97,06 874,17089 873,68559 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-04 9,0345 9,0295 97,81 97,81 883,664445 883,175395 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-05 9,0615 9,0565 97,98 97,98 887,84577 887,35587 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-07 9,0615 9,0565 97,84 97,84 886,57716 886,08796 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-10 9,08619 9,08119 98,23 98,23 892,5364437 892,0452937 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-11 9,08619 9,08119 98,12 98,12 891,5369628 891,0463628 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-12 9,0455 9,0405 97,35 97,35 880,579425 880,092675 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-13 9,0505 9,0455 96,65 96,65 874,730825 874,247575 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-14 9,0455 9,0405 97,06 97,06 877,95623 877,47093 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-17 9,0685 9,0635 97,45 97,45 883,725325 883,238075 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-18 9,0585 9,0535 97,86 97,86 886,46481 885,97551 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-19 9,0225 9,0175 97,77 97,77 882,129825 881,640975 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-20 9,0315 9,0265 97,82 97,82 883,46133 882,97223 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-21 9,0505 9,0455 97,26 97,26 880,25163 879,76533 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-24 9,0655 9,0605 97,43 97,43 883,251665 882,764515 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-25 9,0715 9,0665 97,22 97,22 881,93123 881,44513 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-26 9,0885 9,0835 97,96 97,96 890,30946 889,81966 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-27 9,0675 9,0625 97,93 97,93 887,980275 887,490625 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-28 9,0955 9,0905 98,19 98,19 893,087145 892,596195 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-01-31 9,1075 9,1025 97,82 97,82 890,89565 890,40655 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-01 9,1035 9,0985 98,72 98,72 898,69752 898,20392 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-02 9,0905 9,0855 99,51 99,51 904,595655 904,098105 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-03 9,0695 9,0645 99,86 99,86 905,68027 905,18097 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-04 9,0895 9,0845 99,59 99,59 905,223305 904,725355 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-07 9,0755 9,0705 100,51 100,51 912,178505 911,675955 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-08 9,0895 9,0845 100,99 100,99 917,948605 917,443655 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-09 9,0695 9,0645 101,06 101,06 916,56367 916,05837 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-10 9,0805 9,0755 100,72 100,72 914,58796 914,08436 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-11 9,0935 9,0885 100,6 100,6 914,8061 914,3031 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-14 9,1105 9,1055 101,7 101,7 926,53785 926,02935 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-15 9,0765 9,0715 101,63 101,63 922,444695 921,936545 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-16 9,0705 9,0655 102,09 102,09 926,007345 925,496895 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-17 9,0925 9,0875 101,56 101,56 923,4343 922,9265 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-18 9,0945 9,0895 101,6 101,6 924,0012 923,4932 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-21 9,1185 9,1135 101,71 101,71 927,442635 926,934085 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-22 9,0975 9,0925 101,17 101,17 920,394075 919,888225 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-23 9,1045 9,0995 100,68 100,68 916,64106 916,13766 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-24 9,0715 9,0665 100,17 100,17 908,692155 908,191305 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-25 9,0845 9,0795 100,21 100,21 910,357745 909,856695 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-02-28 9,0505 9,0455 101,45 101,45 918,173225 917,665975 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-01 9,0565 9,0515 101,29 101,29 917,332885 916,826435 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-02 9,0645 9,0595 101,86 101,86 923,30997 922,80067 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-03 9,0675 9,0625 101,84 101,84 923,4342 922,925 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-04 9,0415 9,0365 101,77 101,77 920,153455 919,644605 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-07 9,0425 9,0375 102,64 102,64 928,1222 927,609 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-08 9,0345 9,0295 102,78 102,78 928,56591 928,05201 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-09 9,0365 9,0315 102,22 102,22 923,71103 923,19993 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-10 9,0655 9,0605 101,72 101,72 922,14266 921,63406 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-11 9,0795 9,0745 100,87 100,87 915,849165 915,344815 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-14 9,0695 9,0645 101,06 101,06 916,56367 916,05837 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-15 9,1035 9,0985 101,03 101,03 919,726605 919,221455 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-16 9,0975 9,0925 101,76 101,76 925,7616 925,2528 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-17 9,1045 9,0995 100,22 100,22 912,45299 911,95189 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-18 9,1035 9,0985 100,34 100,34 913,44519 912,94349 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-21 9,1265 9,1215 100,73 100,73 919,312345 918,808695 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-22 9,1265 9,1215 100,17 100,17 914,201505 913,700655 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-23 9,1165 9,1115 100,45 100,45 915,752425 915,250175 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-24 9,1135 9,1085 100,15 100,15 912,717025 912,216275 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-29 9,1315 9,1265 101,04 101,04 922,64676 922,14156 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-30 9,1425 9,1375 101,2 101,2 925,221 924,715 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-03-31 9,1405 9,1355 100,77 100,77 921,088185 920,584335 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-01 9,1645 9,1595 100,83 100,83 924,056535 923,552385 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-04 9,1695 9,1645 101,25 101,25 928,411875 927,905625 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-05 9,1745 9,1695 100,7 100,7 923,87215 923,36865 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-06 9,1705 9,1655 101,5 101,5 930,80575 930,29825 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-07 9,1505 9,1455 101,9 101,9 932,43595 931,92645 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-08 9,1625 9,1575 102,38 102,38 938,05675 937,54485 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-11 9,1705 9,1655 102,44 102,44 939,42602 938,91382 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-12 9,1525 9,1475 102,24 102,24 935,7516 935,2404 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-13 9,1495 9,1445 101,77 101,77 931,144615 930,635765 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-14 9,1685 9,1635 102,25 102,25 937,479125 936,967875 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-15 9,1925 9,1875 102,02 102,02 937,81885 937,30875 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-18 9,1805 9,1755 100,06 100,06 918,60083 918,10053 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-19 9,2035 9,1985 98,02 98,02 902,12707 901,63697 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-20 9,1915 9,1865 98,23 98,23 902,881045 902,389895 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-21 9,1855 9,1805 97,93 97,93 899,536015 899,046365 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-22 9,1625 9,1575 98,07 98,07 898,566375 898,076025 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-25 9,1685 9,1635 98,86 98,86 906,39791 905,90361 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-26 9,1375 9,1325 99,2 99,2 906,44 905,944 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-27 9,1465 9,1415 98,98 98,98 905,32057 904,82567 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-28 9,1505 9,1455 97,55 97,55 892,631275 892,143525 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-04-29 9,1705 9,1655 97,32 97,32 892,47306 891,98646 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-02 9,1935 9,1885 97,46 97,46 895,99851 895,51121 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-03 9,2245 9,2195 98,13 98,13 905,200185 904,709535 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-04 9,1915 9,1865 98,41 98,41 904,535515 904,043465 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-06 9,1715 9,1665 99,75 99,75 914,857125 914,358375 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-09 9,1815 9,1765 100,08 100,08 918,88452 918,38412 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-10 9,1985 9,1935 99,69 99,69 916,998465 916,500015 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-11 9,2105 9,2055 99,07 99,07 912,484235 911,988885 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-12 9,2315 9,2265 98,81 98,81 912,164515 911,670465 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-13 9,2045 9,1995 99,42 99,42 915,11139 914,61429 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-17 9,2325 9,2275 99,33 99,33 917,064225 916,567575 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-18 9,2095 9,2045 99,14 99,14 913,02983 912,53413 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-19 9,1905 9,1855 100,73 100,73 925,759065 925,255415 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-20 9,1955 9,1905 101,21 101,21 930,676555 930,170505 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-23 9,1805 9,1755 101,31 101,31 930,076455 929,569905 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-24 9,1815 9,1765 101,93 101,93 935,870295 935,360645 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-25 9,1785 9,1735 101,81 101,81 934,463085 933,954035 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-26 9,1945 9,1895 101,75 101,75 935,540375 935,031625 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-27 9,1955 9,1905 102,59 102,59 943,366345 942,853395 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-30 9,1905 9,1855 102,51 102,51 942,118155 941,605605 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-05-31 9,1665 9,1615 103,01 103,01 944,241165 943,726115 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-01 9,1455 9,1405 102,36 102,36 936,13338 935,62158 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-02 9,1565 9,1515 103,9 103,9 951,36035 950,84085 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-03 9,1315 9,1265 104,02 104,02 949,85863 949,33853 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-07 9,1455 9,1405 103,34 103,34 945,09597 944,57927 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-08 9,1455 9,1405 104,51 104,51 955,796205 955,273655 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-09 9,1965 9,1915 104,25 104,25 958,735125 958,213875 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-10 9,1975 9,1925 104,18 104,18 958,19555 957,67465 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-13 9,2365 9,2315 104,84 104,84 968,35466 967,83046 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-14 9,2985 9,2935 105,29 105,29 979,039065 978,512615 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-15 9,2695 9,2645 105,41 105,41 977,097995 976,570945 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-16 9,2695 9,2645 104,96 104,96 972,92672 972,40192 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-17 9,2695 9,2645 105,34 105,34 976,44913 975,92243 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-20 9,2255 9,2205 105,83 105,83 976,334665 975,805515 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-21 9,2725 9,2675 105,44 105,44 977,6924 977,1652 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-22 9,2615 9,2565 105,94 105,94 981,16331 980,63361 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-27 9,3855 9,3805 105,42 105,42 989,41941 988,89231 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-28 9,3995 9,3945 104,49 104,49 982,153755 981,631305 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-29 9,4215 9,4165 105,51 105,51 994,062465 993,534915 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-06-30 9,4415 9,4365 106,07 106,07 1001,459905 1000,929555 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-01 9,4595 9,4545 106,27 106,27 1005,261065 1004,729715 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-04 9,4795 9,4745 107,15 107,15 1015,728425 1015,192675 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-05 9,4575 9,4525 107,36 107,36 1015,3572 1014,8204 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-06 9,4195 9,4145 107,12 107,12 1009,01684 1008,48124 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-07 9,3965 9,3915 107,61 107,61 1011,157365 1010,619315 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-08 9,4175 9,4125 105,89 105,89 997,219075 996,689625 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-11 9,4665 9,4615 107,65 107,65 1019,068725 1018,530475 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-12 9,4645 9,4595 108,24 108,24 1024,43748 1023,89628 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-13 9,3915 9,3865 107,87 107,87 1013,061105 1012,521755 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-14 9,3675 9,3625 108,53 108,53 1016,654775 1016,112125 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-15 9,4055 9,4005 108,98 108,98 1025,01139 1024,46649 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-18 9,3895 9,3845 108,93 108,93 1022,798235 1022,253585 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-19 9,4425 9,4375 108,89 108,89 1028,193825 1027,649375 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-20 9,4265 9,4215 110,05 110,05 1037,386325 1036,836075 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-21 9,4625 9,4575 109,73 109,73 1038,320125 1037,771475 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-22 9,4495 9,4445 109,76 109,76 1037,17712 1036,62832 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-25 9,4275 9,4225 109,61 109,61 1033,348275 1032,800225 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-26 9,4155 9,4105 109,81 109,81 1033,916055 1033,367005 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-27 9,4725 9,4675 109,96 109,96 1041,5961 1041,0463 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-28 9,4515 9,4465 110,29 110,29 1042,405935 1041,854485 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-07-29 9,3885 9,3835 110,66 110,66 1038,93141 1038,37811 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-01 9,3985 9,3935 110,42 110,42 1037,78237 1037,23027 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-02 9,3995 9,3945 110,31 110,31 1036,858845 1036,307295 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-03 9,3755 9,3705 111,12 111,12 1041,80556 1041,24996 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-04 9,3735 9,3685 111,09 111,09 1041,302115 1040,746665 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-05 9,3355 9,3305 110,17 110,17 1028,492035 1027,941185 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-08 9,3335 9,3285 109,39 109,39 1020,991565 1020,444615 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-09 9,3455 9,3405 109,81 109,81 1026,229355 1025,680305 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-10 9,3535 9,3485 110,91 110,91 1037,396685 1036,842135 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-11 9,3365 9,3315 112,15 112,15 1047,088475 1046,527725 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-12 9,3025 9,2975 111,62 111,62 1038,34505 1037,78695 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-16 9,2995 9,2945 111,62 111,62 1038,01019 1037,45209 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-17 9,3405 9,3355 110,35 110,35 1030,724175 1030,172425 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-18 9,3365 9,3315 110,09 110,09 1027,855285 1027,304835 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-19 9,3395 9,3345 109,64 109,64 1023,98278 1023,43458 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-22 9,3655 9,3605 110,95 110,95 1039,102225 1038,547475 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-23 9,3715 9,3665 111,06 111,06 1040,79879 1040,24349 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-24 9,3365 9,3315 110,13 110,13 1028,228745 1027,678095 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-25 9,3335 9,3285 110 110 1026,685 1026,135 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-26 9,3415 9,3365 108,95 108,95 1017,756425 1017,211675 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-29 9,3295 9,3245 108,01 108,01 1007,679295 1007,139245 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-30 9,3285 9,3235 108,38 108,38 1011,02283 1010,48093 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-08-31 9,3585 9,3535 108,26 108,26 1013,15121 1012,60991 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-01 9,3365 9,3315 109,23 109,23 1019,825895 1019,279745 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-02 9,3025 9,2975 109,23 109,23 1016,112075 1015,565925 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-05 9,2845 9,2795 109,63 109,63 1017,859735 1017,311585 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-06 9,3225 9,3175 110,34 110,34 1028,64465 1028,09295 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-07 9,3075 9,3025 111,46 111,46 1037,41395 1036,85665 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-08 9,3255 9,3205 111,58 111,58 1040,53929 1039,98139 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-09 9,3445 9,3395 111,49 111,49 1041,818305 1041,260855 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-12 9,3015 9,2965 111,89 111,89 1040,744835 1040,185385 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-13 9,3015 9,2965 111,69 111,69 1038,884535 1038,326085 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-14 9,3365 9,3315 110,78 110,78 1034,29747 1033,74357 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-15 9,3425 9,3375 111,18 111,18 1038,69915 1038,14325 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-16 9,3465 9,3415 111,23 111,23 1039,611195 1039,055045 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-19 9,3355 9,3305 111,99 111,99 1045,482645 1044,922695 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-20 9,3395 9,3345 111,68 111,68 1043,03536 1042,47696 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-21 9,3405 9,3355 112,16 112,16 1047,63048 1047,06968 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-22 9,3405 9,3355 110,74 110,74 1034,36697 1033,81327 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-23 9,3695 9,3645 110,25 110,25 1032,987375 1032,436125 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-26 9,3815 9,3765 110,9 110,9 1040,40835 1039,85385 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-27 9,3885 9,3835 112,76 112,76 1058,64726 1058,08346 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-28 9,3935 9,3885 112,27 112,27 1054,608245 1054,046895 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-29 9,3845 9,3795 113,53 113,53 1065,422285 1064,854635 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-09-30 9,3435 9,3385 113,12 113,12 1056,93672 1056,37112 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-03 9,3025 9,2975 113,61 113,61 1056,857025 1056,288975 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-04 9,3185 9,3135 114,3 114,3 1065,10455 1064,53305 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-05 9,3105 9,3055 114,63 114,63 1067,262615 1066,689465 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-06 9,3015 9,2965 113,39 113,39 1054,697085 1054,130135 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-07 9,3385 9,3335 112,2 112,2 1047,7797 1047,2187 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-10 9,3465 9,3415 111,86 111,86 1045,49949 1044,94019 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-11 9,3395 9,3345 112,08 112,08 1046,77116 1046,21076 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-12 9,3375 9,3325 112,29 112,29 1048,507875 1047,946425 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-13 9,3815 9,3765 111,46 111,46 1045,66199 1045,10469 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-14 9,4135 9,4085 110,42 110,42 1039,43867 1038,88657 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-17 9,4575 9,4525 110,89 110,89 1048,742175 1048,187725 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-18 9,4625 9,4575 111,03 111,03 1050,621375 1050,066225 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-19 9,4605 9,4555 110,32 110,32 1043,68236 1043,13076 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-20 9,4935 9,4885 108,38 108,38 1028,90553 1028,36363 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-21 9,4915 9,4865 108,53 108,53 1030,112495 1029,569845 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-24 9,5455 9,5405 108,11 108,11 1031,964005 1031,423455 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-25 9,5465 9,5415 109,34 109,34 1043,81431 1043,26761 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-26 9,4975 9,4925 108,95 108,95 1034,752625 1034,207875 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-27 9,5355 9,5305 109,32 109,32 1042,42086 1041,87426 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-28 9,5135 9,5085 107,39 107,39 1021,654765 1021,117815 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-10-31 9,5495 9,5445 107,43 107,43 1025,902785 1025,365635 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-02 9,5855 9,5805 109,72 109,72 1051,72106 1051,17246 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-03 9,6515 9,6465 110,07 110,07 1062,340605 1061,790255 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-04 9,5875 9,5825 111,41 111,41 1068,143375 1067,586325 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-07 9,6075 9,6025 111,24 111,24 1068,7383 1068,1821 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-08 9,5685 9,5635 111,52 111,52 1067,07912 1066,52152 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-09 9,5575 9,5525 111,49 111,49 1065,565675 1065,008225 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-10 9,6105 9,6055 111,44 111,44 1070,99412 1070,43692 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-11 9,6365 9,6315 111,51 111,51 1074,566115 1074,008565 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-14 9,5505 9,5455 112,91 112,91 1078,346955 1077,782405 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-15 9,5805 9,5755 113,05 113,05 1083,075525 1082,510275 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-16 9,6235 9,6185 112,96 112,96 1087,07056 1086,50576 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-17 9,6355 9,6305 112,33 112,33 1082,355715 1081,794065 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-18 9,6085 9,6035 112,84 112,84 1084,22314 1083,65894 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-21 9,5915 9,5865 113,5 113,5 1088,63525 1088,06775 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-22 9,5585 9,5535 114,07 114,07 1090,338095 1089,767745 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-23 9,5155 9,5105 114,04 114,04 1085,14762 1084,57742 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-24 9,5125 9,5075 114,71 114,71 1091,178875 1090,605325 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-25 9,4965 9,4915 114,45 114,45 1086,874425 1086,302175 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-28 9,4835 9,4785 114,72 114,72 1087,94712 1087,37352 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-29 9,4785 9,4735 114,23 114,23 1082,729055 1082,157905 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-11-30 9,5295 9,5245 114,62 114,62 1092,27129 1091,69819 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-01 9,5165 9,5115 114,11 114,11 1085,927815 1085,357265 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-02 9,4905 9,4855 115,74 115,74 1098,43047 1097,85177 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-05 9,4065 9,4015 116,29 116,29 1093,881885 1093,300435 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-06 9,4185 9,4135 115,73 115,73 1090,003005 1089,424355 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-07 9,4255 9,4205 116,41 116,41 1097,222455 1096,640405 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-08 9,3965 9,3915 116,13 116,13 1091,215545 1090,634895 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-12 9,4315 9,4265 116,16 116,16 1095,56304 1094,98224 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-13 9,4295 9,4245 116,54 116,54 1098,91393 1098,33123 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-14 9,4365 9,4315 116,82 116,82 1102,37193 1101,78783 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-15 9,4345 9,4295 116,55 116,55 1099,590975 1099,008225 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-16 9,4765 9,4715 116,76 116,76 1106,47614 1105,89234 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-19 9,4535 9,4485 117,76 117,76 1113,24416 1112,65536 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-20 9,4015 9,3965 117,57 117,57 1105,334355 1104,746505 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-21 9,4485 9,4435 117,72 117,72 1112,27742 1111,68882 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-22 9,4365 9,4315 118,71 118,71 1120,206915 1119,613365 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-23 9,4425 9,4375 118,68 118,68 1120,6359 1120,0425 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-27 9,4915 9,4865 118,91 118,91 1128,634265 1128,039715 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-28 9,4345 9,4295 119,36 119,36 1126,10192 1125,50512 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-29 9,4115 9,4065 119,17 119,17 1121,568455 1120,972605 848770 ING Investment Management Belgium S.A. ING (L) Invest EMU Equity EUR 2005-12-30 9,4325 9,4275 119,55 119,55 1127,655375 1127,057625 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-03 9,0065 9,0015 32,85 32,85 295,863525 295,699275 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-04 9,0345 9,0295 33,08 33,08 298,86126 298,69586 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-05 9,0615 9,0565 33,2 33,2 300,8418 300,6758 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-07 9,0615 9,0565 33,16 33,16 300,47934 300,31354 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-10 9,08619 9,08119 33,36 33,36 303,1152984 302,9484984 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-11 9,08619 9,08119 33,32 33,32 302,7518508 302,5852508 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-12 9,0455 9,0405 33,06 33,06 299,04423 298,87893 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-13 9,0505 9,0455 32,79 32,79 296,765895 296,601945 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-14 9,0455 9,0405 32,9 32,9 297,59695 297,43245 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-17 9,0685 9,0635 33,04 33,04 299,62324 299,45804 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-18 9,0585 9,0535 33,16 33,16 300,37986 300,21406 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-19 9,0225 9,0175 33,17 33,17 299,276325 299,110475 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-20 9,0315 9,0265 33,23 33,23 300,116745 299,950595 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-21 9,0505 9,0455 33,08 33,08 299,39054 299,22514 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-24 9,0655 9,0605 33,08 33,08 299,88674 299,72134 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-25 9,0715 9,0665 33,06 33,06 299,90379 299,73849 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-26 9,0885 9,0835 33,3 33,3 302,64705 302,48055 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-27 9,0675 9,0625 33,3 33,3 301,94775 301,78125 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-28 9,0955 9,0905 33,42 33,42 303,97161 303,80451 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-01-31 9,1075 9,1025 33,28 33,28 303,0976 302,9312 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-01 9,1035 9,0985 33,49 33,49 304,876215 304,708765 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-02 9,0905 9,0855 33,77 33,77 306,986185 306,817335 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-03 9,0695 9,0645 33,87 33,87 307,183965 307,014615 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-04 9,0895 9,0845 33,82 33,82 307,40689 307,23779 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-07 9,0755 9,0705 34,14 34,14 309,83757 309,66687 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-08 9,0895 9,0845 34,3 34,3 311,76985 311,59835 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-09 9,0695 9,0645 34,36 34,36 311,62802 311,45622 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-10 9,0805 9,0755 34,29 34,29 311,370345 311,198895 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-11 9,0935 9,0885 34,27 34,27 311,634245 311,462895 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-14 9,1105 9,1055 34,6 34,6 315,2233 315,0503 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-15 9,0765 9,0715 34,63 34,63 314,319195 314,146045 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-16 9,0705 9,0655 34,77 34,77 315,381285 315,207435 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-17 9,0925 9,0875 34,56 34,56 314,2368 314,064 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-18 9,0945 9,0895 34,58 34,58 314,48781 314,31491 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-21 9,1185 9,1135 34,63 34,63 315,773655 315,600505 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-22 9,0975 9,0925 34,56 34,56 314,4096 314,2368 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-23 9,1045 9,0995 34,33 34,33 312,557485 312,385835 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-24 9,0715 9,0665 34,18 34,18 310,06387 309,89297 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-25 9,0845 9,0795 34,17 34,17 310,417365 310,246515 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-02-28 9,0505 9,0455 34,55 34,55 312,694775 312,522025 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-01 9,0565 9,0515 34,46 34,46 312,08699 311,91469 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-02 9,0645 9,0595 34,72 34,72 314,71944 314,54584 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-03 9,0675 9,0625 34,73 34,73 314,914275 314,740625 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-04 9,0415 9,0365 34,73 34,73 314,011295 313,837645 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-07 9,0425 9,0375 34,96 34,96 316,1258 315,951 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-08 9,0345 9,0295 34,93 34,93 315,575085 315,400435 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-09 9,0365 9,0315 34,75 34,75 314,018375 313,844625 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-10 9,0655 9,0605 34,54 34,54 313,12237 312,94967 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-11 9,0795 9,0745 34,26 34,26 311,06367 310,89237 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-14 9,0695 9,0645 34,33 34,33 311,355935 311,184285 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-15 9,1035 9,0985 34,3 34,3 312,25005 312,07855 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-16 9,0975 9,0925 34,61 34,61 314,864475 314,691425 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-17 9,1045 9,0995 34,14 34,14 310,82763 310,65693 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-18 9,1035 9,0985 34,15 34,15 310,884525 310,713775 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-21 9,1265 9,1215 34,2 34,2 312,1263 311,9553 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-22 9,1265 9,1215 34,07 34,07 310,939855 310,769505 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-23 9,1165 9,1115 34,14 34,14 311,23731 311,06661 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-24 9,1135 9,1085 34,06 34,06 310,40581 310,23551 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-29 9,1315 9,1265 34,33 34,33 313,484395 313,312745 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-30 9,1425 9,1375 34,39 34,39 314,410575 314,238625 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-03-31 9,1405 9,1355 34,26 34,26 313,15353 312,98223 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-01 9,1645 9,1595 34,27 34,27 314,067415 313,896065 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-04 9,1695 9,1645 34,43 34,43 315,705885 315,533735 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-05 9,1745 9,1695 34,27 34,27 314,410115 314,238765 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-06 9,1705 9,1655 34,59 34,59 317,207595 317,034645 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-07 9,1505 9,1455 34,73 34,73 317,796865 317,623215 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-08 9,1625 9,1575 34,84 34,84 319,2215 319,0473 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-11 9,1705 9,1655 34,9 34,9 320,05045 319,87595 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-12 9,1525 9,1475 34,82 34,82 318,69005 318,51595 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-13 9,1495 9,1445 34,7 34,7 317,48765 317,31415 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-14 9,1685 9,1635 34,85 34,85 319,522225 319,347975 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-15 9,1925 9,1875 34,81 34,81 319,990925 319,816875 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-18 9,1805 9,1755 34,27 34,27 314,615735 314,444385 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-19 9,2035 9,1985 33,69 33,69 310,065915 309,897465 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-20 9,1915 9,1865 33,88 33,88 311,40802 311,23862 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-21 9,1855 9,1805 33,71 33,71 309,643205 309,474655 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-22 9,1625 9,1575 33,67 33,67 308,501375 308,333025 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-25 9,1685 9,1635 33,95 33,95 311,270575 311,100825 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-26 9,1375 9,1325 34,12 34,12 311,7715 311,6009 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-27 9,1465 9,1415 33,99 33,99 310,889535 310,719585 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-28 9,1505 9,1455 33,56 33,56 307,09078 306,92298 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-04-29 9,1705 9,1655 33,61 33,61 308,220505 308,052455 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-02 9,1935 9,1885 33,68 33,68 309,63708 309,46868 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-03 9,2245 9,2195 33,8 33,8 311,7881 311,6191 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-04 9,1915 9,1865 33,94 33,94 311,95951 311,78981 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-06 9,1715 9,1665 34,36 34,36 315,13274 314,96094 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-09 9,1815 9,1765 34,49 34,49 316,669935 316,497485 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-10 9,1985 9,1935 34,34 34,34 315,87649 315,70479 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-11 9,2105 9,2055 34,09 34,09 313,985945 313,815495 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-12 9,2315 9,2265 34,04 34,04 314,24026 314,07006 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-13 9,2045 9,1995 34,22 34,22 314,97799 314,80689 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-17 9,2325 9,2275 34,11 34,11 314,920575 314,750025 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-18 9,2095 9,2045 34,12 34,12 314,22814 314,05754 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-19 9,1905 9,1855 34,56 34,56 317,62368 317,45088 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-20 9,1955 9,1905 34,69 34,69 318,991895 318,818445 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-23 9,1805 9,1755 34,73 34,73 318,838765 318,665115 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-24 9,1815 9,1765 34,9 34,9 320,43435 320,25985 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-25 9,1785 9,1735 34,87 34,87 320,054295 319,879945 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-26 9,1945 9,1895 34,86 34,86 320,52027 320,34597 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-27 9,1955 9,1905 35,09 35,09 322,670095 322,494645 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-30 9,1905 9,1855 35,07 35,07 322,310835 322,135485 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-05-31 9,1665 9,1615 35,23 35,23 322,935795 322,759645 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-01 9,1455 9,1405 35,16 35,16 321,55578 321,37998 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-02 9,1565 9,1515 35,66 35,66 326,52079 326,34249 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-03 9,1315 9,1265 35,67 35,67 325,720605 325,542255 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-07 9,1455 9,1405 35,48 35,48 324,48234 324,30494 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-08 9,1455 9,1405 35,91 35,91 328,414905 328,235355 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-09 9,1965 9,1915 35,82 35,82 329,41863 329,23953 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-10 9,1975 9,1925 35,84 35,84 329,6384 329,4592 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-13 9,2365 9,2315 36,05 36,05 332,975825 332,795575 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-14 9,2985 9,2935 36,2 36,2 336,6057 336,4247 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-15 9,2695 9,2645 36,25 36,25 336,019375 335,838125 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-16 9,2695 9,2645 36,09 36,09 334,536255 334,355805 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-17 9,2695 9,2645 36,25 36,25 336,019375 335,838125 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-20 9,2255 9,2205 36,31 36,31 334,977905 334,796355 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-21 9,2725 9,2675 36,29 36,29 336,499025 336,317575 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-22 9,2615 9,2565 36,47 36,47 337,766905 337,584555 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-27 9,3855 9,3805 36,32 36,32 340,88136 340,69976 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-28 9,3995 9,3945 35,98 35,98 338,19401 338,01411 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-29 9,4215 9,4165 36,31 36,31 342,094665 341,913115 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-06-30 9,4415 9,4365 36,42 36,42 343,85943 343,67733 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-01 9,4595 9,4545 36,35 36,35 343,852825 343,671075 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-04 9,4795 9,4745 36,65 36,65 347,423675 347,240425 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-05 9,4575 9,4525 36,74 36,74 347,46855 347,28485 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-06 9,4195 9,4145 36,68 36,68 345,50726 345,32386 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-07 9,3965 9,3915 36,89 36,89 346,636885 346,452435 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-08 9,4175 9,4125 36,24 36,24 341,2902 341,109 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-11 9,4665 9,4615 36,78 36,78 348,17787 347,99397 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-12 9,4645 9,4595 36,92 36,92 349,42934 349,24474 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-13 9,3915 9,3865 36,77 36,77 345,325455 345,141605 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-14 9,3675 9,3625 36,97 36,97 346,316475 346,131625 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-15 9,4055 9,4005 37,15 37,15 349,414325 349,228575 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-18 9,3895 9,3845 37,07 37,07 348,068765 347,883415 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-19 9,4425 9,4375 36,98 36,98 349,18365 348,99875 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-20 9,4265 9,4215 37,12 37,12 349,91168 349,72608 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-21 9,4625 9,4575 37,01 37,01 350,207125 350,022075 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-22 9,4495 9,4445 37,05 37,05 350,103975 349,918725 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-25 9,4275 9,4225 37,05 37,05 349,288875 349,103625 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-26 9,4155 9,4105 37,23 37,23 350,539065 350,352915 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-27 9,4725 9,4675 37,25 37,25 352,850625 352,664375 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-28 9,4515 9,4465 37,36 37,36 353,10804 352,92124 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-07-29 9,3885 9,3835 37,5 37,5 352,06875 351,88125 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-01 9,3985 9,3935 37,49 37,49 352,349765 352,162315 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-02 9,3995 9,3945 37,51 37,51 352,575245 352,387695 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-03 9,3755 9,3705 37,81 37,81 354,487655 354,298605 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-04 9,3735 9,3685 37,8 37,8 354,3183 354,1293 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-05 9,3355 9,3305 37,48 37,48 349,89454 349,70714 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-08 9,3335 9,3285 37,34 37,34 348,51289 348,32619 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-09 9,3455 9,3405 37,55 37,55 350,923525 350,735775 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-10 9,3535 9,3485 37,78 37,78 353,37523 353,18633 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-11 9,3365 9,3315 38,16 38,16 356,28084 356,09004 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-12 9,3025 9,2975 38,04 38,04 353,8671 353,6769 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-16 9,2995 9,2945 37,93 37,93 352,730035 352,540385 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-17 9,3405 9,3355 37,81 37,81 353,164305 352,975255 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-18 9,3365 9,3315 37,74 37,74 352,35951 352,17081 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-19 9,3395 9,3345 37,62 37,62 351,35199 351,16389 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-22 9,3655 9,3605 38,02 38,02 356,07631 355,88621 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-23 9,3715 9,3665 38,03 38,03 356,398145 356,207995 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-24 9,3365 9,3315 37,77 37,77 352,639605 352,450755 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-25 9,3335 9,3285 37,62 37,62 351,12627 350,93817 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-26 9,3415 9,3365 37,34 37,34 348,81161 348,62491 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-29 9,3295 9,3245 37,07 37,07 345,844565 345,659215 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-30 9,3285 9,3235 37,16 37,16 346,64706 346,46126 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-08-31 9,3585 9,3535 37,16 37,16 347,76186 347,57606 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-01 9,3365 9,3315 37,49 37,49 350,025385 349,837935 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-02 9,3025 9,2975 37,73 37,73 350,983325 350,794675 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-05 9,2845 9,2795 37,69 37,69 349,932805 349,744355 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-06 9,3225 9,3175 37,88 37,88 353,1363 352,9469 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-07 9,3075 9,3025 38,21 38,21 355,639575 355,448525 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-08 9,3255 9,3205 38,29 38,29 357,073395 356,881945 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-09 9,3445 9,3395 38,25 38,25 357,427125 357,235875 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-12 9,3015 9,2965 38,36 38,36 356,80554 356,61374 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-13 9,3015 9,2965 38,42 38,42 357,36363 357,17153 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-14 9,3365 9,3315 38,14 38,14 356,09411 355,90341 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-15 9,3425 9,3375 38,29 38,29 357,724325 357,532875 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-16 9,3465 9,3415 38,34 38,34 358,34481 358,15311 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-19 9,3355 9,3305 38,56 38,56 359,97688 359,78408 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-20 9,3395 9,3345 38,63 38,63 360,784885 360,591735 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-21 9,3405 9,3355 38,65 38,65 361,010325 360,817075 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-22 9,3405 9,3355 38,24 38,24 357,18072 356,98952 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-23 9,3695 9,3645 38,1 38,1 356,97795 356,78745 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-26 9,3815 9,3765 38,29 38,29 359,217635 359,026185 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-27 9,3885 9,3835 38,75 38,75 363,804375 363,610625 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-28 9,3935 9,3885 38,64 38,64 362,96484 362,77164 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-29 9,3845 9,3795 38,98 38,98 365,80781 365,61291 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-09-30 9,3435 9,3385 38,83 38,83 362,808105 362,613955 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-03 9,3025 9,2975 38,96 38,96 362,4254 362,2306 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-04 9,3185 9,3135 39,27 39,27 365,937495 365,741145 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-05 9,3105 9,3055 39,35 39,35 366,368175 366,171425 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-06 9,3015 9,2965 38,94 38,94 362,20041 362,00571 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-07 9,3385 9,3335 38,42 38,42 358,78517 358,59307 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-10 9,3465 9,3415 38,28 38,28 357,78402 357,59262 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-11 9,3395 9,3345 38,37 38,37 358,356615 358,164765 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-12 9,3375 9,3325 38,45 38,45 359,026875 358,834625 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-13 9,3815 9,3765 38,19 38,19 358,279485 358,088535 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-14 9,4135 9,4085 37,82 37,82 356,01857 355,82947 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-17 9,4575 9,4525 37,9 37,9 358,43925 358,24975 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-18 9,4625 9,4575 37,9 37,9 358,62875 358,43925 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-19 9,4605 9,4555 37,81 37,81 357,701505 357,512455 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-20 9,4935 9,4885 37,17 37,17 352,873395 352,687545 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-21 9,4915 9,4865 37,31 37,31 354,127865 353,941315 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-24 9,5455 9,5405 37,15 37,15 354,615325 354,429575 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-25 9,5465 9,5415 37,56 37,56 358,56654 358,37874 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-26 9,4975 9,4925 37,46 37,46 355,77635 355,58905 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-27 9,5355 9,5305 37,6 37,6 358,5348 358,3468 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-28 9,5135 9,5085 37,1 37,1 352,95085 352,76535 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-10-31 9,5495 9,5445 37,15 37,15 354,763925 354,578175 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-02 9,5855 9,5805 37,15 37,15 356,101325 355,915575 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-03 9,6515 9,6465 38,17 38,17 368,397755 368,206905 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-04 9,5875 9,5825 38,76 38,76 371,6115 371,4177 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-07 9,6075 9,6025 38,72 38,72 372,0024 371,8088 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-08 9,5685 9,5635 38,85 38,85 371,736225 371,541975 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-09 9,5575 9,5525 38,87 38,87 371,500025 371,305675 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-10 9,6105 9,6055 38,84 38,84 373,27182 373,07762 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-11 9,6365 9,6315 38,85 38,85 374,378025 374,183775 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-14 9,5505 9,5455 39,27 39,27 375,048135 374,851785 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-15 9,5805 9,5755 39,25 39,25 376,034625 375,838375 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-16 9,6235 9,6185 39,11 39,11 376,375085 376,179535 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-17 9,6355 9,6305 38,82 38,82 374,05011 373,85601 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-18 9,6085 9,6035 39 39 374,7315 374,5365 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-21 9,5915 9,5865 39,25 39,25 376,466375 376,270125 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-22 9,5585 9,5535 39,33 39,33 375,935805 375,739155 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-23 9,5155 9,5105 39,33 39,33 374,244615 374,047965 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-24 9,5125 9,5075 39,52 39,52 375,934 375,7364 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-25 9,4965 9,4915 39,43 39,43 374,446995 374,249845 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-28 9,4835 9,4785 39,53 39,53 374,882755 374,685105 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-29 9,4785 9,4735 39,26 39,26 372,12591 371,92961 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-11-30 9,5295 9,5245 39,36 39,36 375,08112 374,88432 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-01 9,5165 9,5115 39,13 39,13 372,380645 372,184995 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-02 9,4905 9,4855 39,78 39,78 377,53209 377,33319 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-05 9,4065 9,4015 40,06 40,06 376,82439 376,62409 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-06 9,4185 9,4135 39,87 39,87 375,515595 375,316245 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-07 9,4255 9,4205 40,11 40,11 378,056805 377,856255 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-08 9,3965 9,3915 40,06 40,06 376,42379 376,22349 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-12 9,4315 9,4265 40,08 40,08 378,01452 377,81412 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-13 9,4295 9,4245 40,08 40,08 377,93436 377,73396 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-14 9,4365 9,4315 40,15 40,15 378,875475 378,674725 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-15 9,4345 9,4295 40,05 40,05 377,851725 377,651475 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-16 9,4765 9,4715 39,97 39,97 378,775705 378,575855 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-19 9,4535 9,4485 40,22 40,22 380,21977 380,01867 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-20 9,4015 9,3965 40,13 40,13 377,282195 377,081545 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-21 9,4485 9,4435 40,24 40,24 380,20764 380,00644 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-22 9,4365 9,4315 40,48 40,48 381,98952 381,78712 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-23 9,4425 9,4375 40,39 40,39 381,382575 381,180625 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-27 9,4915 9,4865 40,38 40,38 383,26677 383,06487 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-28 9,4345 9,4295 40,49 40,49 382,002905 381,800455 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-29 9,4115 9,4065 40,42 40,42 380,41283 380,21073 899773 ING Investment Management Belgium S.A. ING (L) Invest European Equity EUR 2005-12-30 9,4325 9,4275 40,65 40,65 383,431125 383,227875 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-03 9,0065 9,0015 14,87 14,87 133,926655 133,852305 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-04 9,0345 9,0295 14,97 14,97 135,246465 135,171615 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-05 9,0615 9,0565 15,03 15,03 136,194345 136,119195 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-07 9,0615 9,0565 15 15 135,9225 135,8475 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-10 9,08619 9,08119 15,2 15,2 138,110088 138,034088 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-11 9,08619 9,08119 15,23 15,23 138,3826737 138,3065237 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-12 9,0455 9,0405 15,21 15,21 137,582055 137,506005 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-13 9,0505 9,0455 15,2 15,2 137,5676 137,4916 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-14 9,0455 9,0405 15,31 15,31 138,486605 138,410055 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-17 9,0685 9,0635 15,31 15,31 138,838735 138,762185 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-18 9,0585 9,0535 15,38 15,38 139,31973 139,24283 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-19 9,0225 9,0175 15,42 15,42 139,12695 139,04985 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-20 9,0315 9,0265 15,52 15,52 140,16888 140,09128 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-21 9,0505 9,0455 15,49 15,49 140,192245 140,114795 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-24 9,0655 9,0605 15,48 15,48 140,33394 140,25654 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-25 9,0715 9,0665 15,45 15,45 140,154675 140,077425 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-26 9,0885 9,0835 15,53 15,53 141,144405 141,066755 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-27 9,0675 9,0625 15,59 15,59 141,362325 141,284375 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-28 9,0955 9,0905 15,54 15,54 141,34407 141,26637 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-01-31 9,1075 9,1025 15,61 15,61 142,168075 142,090025 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-01 9,1035 9,0985 15,67 15,67 142,651845 142,573495 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-02 9,0905 9,0855 15,75 15,75 143,175375 143,096625 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-03 9,0695 9,0645 15,82 15,82 143,47949 143,40039 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-04 9,0895 9,0845 15,81 15,81 143,704995 143,625945 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-07 9,0755 9,0705 15,88 15,88 144,11894 144,03954 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-08 9,0895 9,0845 16 16 145,432 145,352 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-09 9,0695 9,0645 16,01 16,01 145,202695 145,122645 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-10 9,0805 9,0755 15,97 15,97 145,015585 144,935735 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-11 9,0935 9,0885 15,95 15,95 145,041325 144,961575 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-14 9,1105 9,1055 16,03 16,03 146,041315 145,961165 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-15 9,0765 9,0715 16,09 16,09 146,040885 145,960435 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-16 9,0705 9,0655 16,13 16,13 146,307165 146,226515 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-17 9,0925 9,0875 16,09 16,09 146,298325 146,217875 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-18 9,0945 9,0895 16,12 16,12 146,60334 146,52274 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-21 9,1185 9,1135 16,07 16,07 146,534295 146,453945 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-22 9,0975 9,0925 16 16 145,56 145,48 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-23 9,1045 9,0995 15,93 15,93 145,034685 144,955035 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-24 9,0715 9,0665 15,88 15,88 144,05542 143,97602 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-25 9,0845 9,0795 15,94 15,94 144,80693 144,72723 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-02-28 9,0505 9,0455 16,1 16,1 145,71305 145,63255 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-01 9,0565 9,0515 16,15 16,15 146,262475 146,181725 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-02 9,0645 9,0595 16,19 16,19 146,754255 146,673305 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-03 9,0675 9,0625 16,18 16,18 146,71215 146,63125 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-04 9,0415 9,0365 16,15 16,15 146,020225 145,939475 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-07 9,0425 9,0375 16,21 16,21 146,578925 146,497875 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-08 9,0345 9,0295 16,24 16,24 146,72028 146,63908 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-09 9,0365 9,0315 16,22 16,22 146,57203 146,49093 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-10 9,0655 9,0605 16,22 16,22 147,04241 146,96131 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-11 9,0795 9,0745 16,13 16,13 146,452335 146,371685 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-14 9,0695 9,0645 16,16 16,16 146,56312 146,48232 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-15 9,1035 9,0985 16,1 16,1 146,56635 146,48585 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-16 9,0975 9,0925 16,22 16,22 147,56145 147,48035 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-17 9,1045 9,0995 16,07 16,07 146,309315 146,228965 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-18 9,1035 9,0985 16,03 16,03 145,929105 145,848955 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-21 9,1265 9,1215 16,09 16,09 146,845385 146,764935 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-22 9,1265 9,1215 16,03 16,03 146,297795 146,217645 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-23 9,1165 9,1115 16,07 16,07 146,502155 146,421805 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-24 9,1135 9,1085 15,98 15,98 145,63373 145,55383 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-29 9,1315 9,1265 16,08 16,08 146,83452 146,75412 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-30 9,1425 9,1375 16,02 16,02 146,46285 146,38275 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-03-31 9,1405 9,1355 15,99 15,99 146,156595 146,076645 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-01 9,1645 9,1595 16,09 16,09 147,456805 147,376355 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-04 9,1695 9,1645 16,19 16,19 148,454205 148,373255 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-05 9,1745 9,1695 16,15 16,15 148,168175 148,087425 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-06 9,1705 9,1655 16,26 16,26 149,11233 149,03103 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-07 9,1505 9,1455 16,32 16,32 149,33616 149,25456 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-08 9,1625 9,1575 16,4 16,4 150,265 150,183 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-11 9,1705 9,1655 16,49 16,49 151,221545 151,139095 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-12 9,1525 9,1475 16,48 16,48 150,8332 150,7508 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-13 9,1495 9,1445 16,48 16,48 150,78376 150,70136 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-14 9,1685 9,1635 16,53 16,53 151,555305 151,472655 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-15 9,1925 9,1875 16,48 16,48 151,4924 151,41 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-18 9,1805 9,1755 16,26 16,26 149,27493 149,19363 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-19 9,2035 9,1985 15,95 15,95 146,795825 146,716075 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-20 9,1915 9,1865 16,04 16,04 147,43166 147,35146 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-21 9,1855 9,1805 16,09 16,09 147,794695 147,714245 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-22 9,1625 9,1575 16,07 16,07 147,241375 147,161025 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-25 9,1685 9,1635 16,18 16,18 148,34633 148,26543 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-26 9,1375 9,1325 16,15 16,15 147,570625 147,489875 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-27 9,1465 9,1415 16,07 16,07 146,984255 146,903905 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-28 9,1505 9,1455 15,75 15,75 144,120375 144,041625 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-04-29 9,1705 9,1655 15,62 15,62 143,24321 143,16511 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-02 9,1935 9,1885 15,63 15,63 143,694405 143,616255 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-03 9,2245 9,2195 15,66 15,66 144,45567 144,37737 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-04 9,1915 9,1865 15,67 15,67 144,030805 143,952455 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-06 9,1715 9,1665 15,72 15,72 144,17598 144,09738 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-09 9,1815 9,1765 15,76 15,76 144,70044 144,62164 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-10 9,1985 9,1935 15,79 15,79 145,244315 145,165365 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-11 9,2105 9,2055 15,71 15,71 144,696955 144,618405 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-12 9,2315 9,2265 15,68 15,68 144,74992 144,67152 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-13 9,2045 9,1995 15,78 15,78 145,24701 145,16811 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-17 9,2325 9,2275 15,75 15,75 145,411875 145,333125 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-18 9,2095 9,2045 15,8 15,8 145,5101 145,4311 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-19 9,1905 9,1855 15,9 15,9 146,12895 146,04945 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-20 9,1955 9,1905 16,04 16,04 147,49582 147,41562 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-23 9,1805 9,1755 16,04 16,04 147,25522 147,17502 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-24 9,1815 9,1765 16,09 16,09 147,730335 147,649885 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-25 9,1785 9,1735 16,06 16,06 147,40671 147,32641 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-26 9,1945 9,1895 16,15 16,15 148,491175 148,410425 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-27 9,1955 9,1905 16,3 16,3 149,88665 149,80515 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-30 9,1905 9,1855 16,28 16,28 149,62134 149,53994 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-05-31 9,1665 9,1615 16,34 16,34 149,78061 149,69891 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-01 9,1455 9,1405 16,42 16,42 150,16911 150,08701 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-02 9,1565 9,1515 16,55 16,55 151,540075 151,457325 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-03 9,1315 9,1265 16,6 16,6 151,5829 151,4999 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-07 9,1455 9,1405 16,72 16,72 152,91276 152,82916 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-08 9,1455 9,1405 16,84 16,84 154,01022 153,92602 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-09 9,1965 9,1915 16,84 16,84 154,86906 154,78486 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-10 9,1975 9,1925 16,85 16,85 154,977875 154,893625 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-13 9,2365 9,2315 16,91 16,91 156,189215 156,104665 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-14 9,2985 9,2935 17 17 158,0745 157,9895 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-15 9,2695 9,2645 17,01 17,01 157,674195 157,589145 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-16 9,2695 9,2645 17,09 17,09 158,415755 158,330305 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-17 9,2695 9,2645 17,2 17,2 159,4354 159,3494 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-20 9,2255 9,2205 17,21 17,21 158,770855 158,684805 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-21 9,2725 9,2675 17,23 17,23 159,765175 159,679025 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-22 9,2615 9,2565 17,28 17,28 160,03872 159,95232 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-27 9,3855 9,3805 17,23 17,23 161,712165 161,626015 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-28 9,3995 9,3945 17,11 17,11 160,825445 160,739895 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-29 9,4215 9,4165 17,22 17,22 162,23823 162,15213 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-06-30 9,4415 9,4365 17,3 17,3 163,33795 163,25145 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-01 9,4595 9,4545 17,3 17,3 163,64935 163,56285 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-04 9,4795 9,4745 17,43 17,43 165,227685 165,140535 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-05 9,4575 9,4525 17,41 17,41 164,655075 164,568025 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-06 9,4195 9,4145 17,42 17,42 164,08769 164,00059 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-07 9,3965 9,3915 17,56 17,56 165,00254 164,91474 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-08 9,4175 9,4125 17,36 17,36 163,4878 163,401 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-11 9,4665 9,4615 17,58 17,58 166,42107 166,33317 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-12 9,4645 9,4595 17,71 17,71 167,616295 167,527745 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-13 9,3915 9,3865 17,68 17,68 166,04172 165,95332 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-14 9,3675 9,3625 17,71 17,71 165,898425 165,809875 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-15 9,4055 9,4005 17,69 17,69 166,383295 166,294845 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-18 9,3895 9,3845 17,66 17,66 165,81857 165,73027 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-19 9,4425 9,4375 17,67 17,67 166,848975 166,760625 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-20 9,4265 9,4215 17,76 17,76 167,41464 167,32584 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-21 9,4625 9,4575 17,71 17,71 167,580875 167,492325 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-22 9,4495 9,4445 17,74 17,74 167,63413 167,54543 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-25 9,4275 9,4225 17,74 17,74 167,24385 167,15515 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-26 9,4155 9,4105 17,76 17,76 167,21928 167,13048 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-27 9,4725 9,4675 17,81 17,81 168,705225 168,616175 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-28 9,4515 9,4465 17,92 17,92 169,37088 169,28128 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-07-29 9,3885 9,3835 17,95 17,95 168,523575 168,433825 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-01 9,3985 9,3935 18,02 18,02 169,36097 169,27087 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-02 9,3995 9,3945 18,04 18,04 169,56698 169,47678 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-03 9,3755 9,3705 18,16 18,16 170,25908 170,16828 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-04 9,3735 9,3685 18,16 18,16 170,22276 170,13196 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-05 9,3355 9,3305 18,13 18,13 169,252615 169,161965 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-08 9,3335 9,3285 18,07 18,07 168,656345 168,565995 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-09 9,3455 9,3405 18,1 18,1 169,15355 169,06305 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-10 9,3535 9,3485 18,13 18,13 169,578955 169,488305 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-11 9,3365 9,3315 18,21 18,21 170,017665 169,926615 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-12 9,3025 9,2975 18,2 18,2 169,3055 169,2145 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-16 9,2995 9,2945 18,2 18,2 169,2509 169,1599 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-17 9,3405 9,3355 18,16 18,16 169,62348 169,53268 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-18 9,3365 9,3315 18,13 18,13 169,270745 169,180095 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-19 9,3395 9,3345 18,13 18,13 169,325135 169,234485 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-22 9,3655 9,3605 18,17 18,17 170,171135 170,080285 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-23 9,3715 9,3665 18,22 18,22 170,74873 170,65763 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-24 9,3365 9,3315 18,22 18,22 170,11103 170,01993 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-25 9,3335 9,3285 18,17 18,17 169,589695 169,498845 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-26 9,3415 9,3365 18,11 18,11 169,174565 169,084015 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-29 9,3295 9,3245 18,14 18,14 169,23713 169,14643 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-30 9,3285 9,3235 18,12 18,12 169,03242 168,94182 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-08-31 9,3585 9,3535 18,2 18,2 170,3247 170,2337 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-01 9,3365 9,3315 18,28 18,28 170,67122 170,57982 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-02 9,3025 9,2975 18,38 18,38 170,97995 170,88805 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-05 9,2845 9,2795 18,38 18,38 170,64911 170,55721 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-06 9,3225 9,3175 18,38 18,38 171,34755 171,25565 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-07 9,3075 9,3025 18,48 18,48 172,0026 171,9102 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-08 9,3255 9,3205 18,61 18,61 173,547555 173,454505 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-09 9,3445 9,3395 18,59 18,59 173,714255 173,621305 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-12 9,3015 9,2965 18,7 18,7 173,93805 173,84455 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-13 9,3015 9,2965 18,87 18,87 175,519305 175,424955 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-14 9,3365 9,3315 18,67 18,67 174,312455 174,219105 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-15 9,3425 9,3375 18,69 18,69 174,611325 174,517875 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-16 9,3465 9,3415 18,63 18,63 174,125295 174,032145 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-19 9,3355 9,3305 18,7 18,7 174,57385 174,48035 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-20 9,3395 9,3345 18,73 18,73 174,928835 174,835185 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-21 9,3405 9,3355 18,74 18,74 175,04097 174,94727 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-22 9,3405 9,3355 18,68 18,68 174,48054 174,38714 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-23 9,3695 9,3645 18,62 18,62 174,46009 174,36699 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-26 9,3815 9,3765 18,71 18,71 175,527865 175,434315 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-27 9,3885 9,3835 18,75 18,75 176,034375 175,940625 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-28 9,3935 9,3885 18,79 18,79 176,503865 176,409915 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-29 9,3845 9,3795 18,85 18,85 176,897825 176,803575 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-09-30 9,3435 9,3385 18,89 18,89 176,498715 176,404265 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-03 9,3025 9,2975 18,97 18,97 176,468425 176,373575 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-04 9,3185 9,3135 19,05 19,05 177,517425 177,422175 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-05 9,3105 9,3055 19,09 19,09 177,737445 177,641995 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-06 9,3015 9,2965 19,02 19,02 176,91453 176,81943 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-07 9,3385 9,3335 18,69 18,69 174,536565 174,443115 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-10 9,3465 9,3415 18,69 18,69 174,686085 174,592635 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-11 9,3395 9,3345 18,61 18,61 173,808095 173,715045 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-12 9,3375 9,3325 18,65 18,65 174,144375 174,051125 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-13 9,3815 9,3765 18,56 18,56 174,12064 174,02784 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-14 9,4135 9,4085 18,24 18,24 171,70224 171,61104 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-17 9,4575 9,4525 18,19 18,19 172,031925 171,940975 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-18 9,4625 9,4575 18,18 18,18 172,02825 171,93735 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-19 9,4605 9,4555 18,15 18,15 171,708075 171,617325 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-20 9,4935 9,4885 17,74 17,74 168,41469 168,32599 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-21 9,4915 9,4865 17,82 17,82 169,13853 169,04943 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-24 9,5455 9,5405 17,75 17,75 169,432625 169,343875 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-25 9,5465 9,5415 17,97 17,97 171,550605 171,460755 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-26 9,4975 9,4925 17,98 17,98 170,76505 170,67515 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-27 9,5355 9,5305 17,98 17,98 171,44829 171,35839 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-28 9,5135 9,5085 17,74 17,74 168,76949 168,68079 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-10-31 9,5495 9,5445 17,66 17,66 168,64417 168,55587 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-02 9,5855 9,5805 17,66 17,66 169,27993 169,19163 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-03 9,6515 9,6465 18,01 18,01 173,823515 173,733465 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-04 9,5875 9,5825 18,27 18,27 175,163625 175,072275 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-07 9,6075 9,6025 18,33 18,33 176,105475 176,013825 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-08 9,5685 9,5635 18,36 18,36 175,67766 175,58586 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-09 9,5575 9,5525 18,37 18,37 175,571275 175,479425 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-10 9,6105 9,6055 18,29 18,29 175,776045 175,684595 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-11 9,6365 9,6315 18,27 18,27 176,058855 175,967505 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-14 9,5505 9,5455 18,36 18,36 175,34718 175,25538 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-15 9,5805 9,5755 18,37 18,37 175,993785 175,901935 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-16 9,6235 9,6185 18,27 18,27 175,821345 175,729995 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-17 9,6355 9,6305 18,17 18,17 175,077035 174,986185 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-18 9,6085 9,6035 18,23 18,23 175,162955 175,071805 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-21 9,5915 9,5865 18,33 18,33 175,812195 175,720545 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-22 9,5585 9,5535 18,39 18,39 175,780815 175,688865 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-23 9,5155 9,5105 18,45 18,45 175,560975 175,468725 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-24 9,5125 9,5075 18,49 18,49 175,886125 175,793675 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-25 9,4965 9,4915 18,47 18,47 175,400355 175,308005 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-28 9,4835 9,4785 18,56 18,56 176,01376 175,92096 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-29 9,4785 9,4735 18,52 18,52 175,54182 175,44922 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-11-30 9,5295 9,5245 18,56 18,56 176,86752 176,77472 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-01 9,5165 9,5115 18,55 18,55 176,531075 176,438325 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-02 9,4905 9,4855 18,83 18,83 178,706115 178,611965 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-05 9,4065 9,4015 19,01 19,01 178,817565 178,722515 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-06 9,4185 9,4135 18,95 18,95 178,480575 178,385825 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-07 9,4255 9,4205 19,06 19,06 179,65003 179,55473 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-08 9,3965 9,3915 19,14 19,14 179,84901 179,75331 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-12 9,4315 9,4265 19,19 19,19 180,990485 180,894535 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-13 9,4295 9,4245 19,22 19,22 181,23499 181,13889 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-14 9,4365 9,4315 19,2 19,2 181,1808 181,0848 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-15 9,4345 9,4295 19,09 19,09 180,104605 180,009155 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-16 9,4765 9,4715 19,13 19,13 181,285445 181,189795 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-19 9,4535 9,4485 19,19 19,19 181,412665 181,316715 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-20 9,4015 9,3965 19,22 19,22 180,69683 180,60073 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-21 9,4485 9,4435 19,28 19,28 182,16708 182,07068 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-22 9,4365 9,4315 19,34 19,34 182,50191 182,40521 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-23 9,4425 9,4375 19,33 19,33 182,523525 182,426875 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-27 9,4915 9,4865 19,4 19,4 184,1351 184,0381 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-28 9,4345 9,4295 19,49 19,49 183,878405 183,780955 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-29 9,4115 9,4065 19,49 19,49 183,430135 183,332685 792283 ING Investment Management Belgium S.A. ING (L) Invest European Small Caps EUR 2005-12-30 9,4325 9,4275 19,63 19,63 185,159975 185,061825 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-03 6,668 6,658 43,42 43,42 289,52456 289,09036 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-04 6,728 6,718 42,96 42,96 289,03488 288,60528 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-05 6,828 6,818 41,94 41,94 286,36632 285,94692 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-07 6,87 6,86 41,27 41,27 283,5249 283,1122 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-10 6,96091 6,95091 41,5 41,5 288,877765 288,462765 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-11 6,96091 6,95091 41,59 41,59 289,5042469 289,0883469 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-12 6,913 6,903 41,13 41,13 284,33169 283,92039 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-13 6,843 6,833 41,33 41,33 282,82119 282,40789 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-14 6,915 6,905 41,01 41,01 283,58415 283,17405 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-17 6,915 6,905 41,35 41,35 285,93525 285,52175 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-18 6,968 6,958 41,4 41,4 288,4752 288,0612 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-19 6,91 6,9 41,63 41,63 287,6633 287,247 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-20 6,96 6,95 40,9 40,9 284,664 284,255 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-21 6,978 6,968 40,35 40,35 281,5623 281,1588 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-24 6,933 6,923 40,02 40,02 277,45866 277,05846 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-25 6,95 6,94 39,54 39,54 274,803 274,4076 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-26 6,995 6,985 39,73 39,73 277,91135 277,51405 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-27 6,93 6,92 40,21 40,21 278,6553 278,2532 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-28 6,985 6,975 40,49 40,49 282,82265 282,41775 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-01-31 6,998 6,988 40,11 40,11 280,68978 280,28868 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-01 6,993 6,983 40,6 40,6 283,9158 283,5098 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-02 6,953 6,943 40,66 40,66 282,70898 282,30238 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-03 6,968 6,958 40,69 40,69 283,52792 283,12102 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-04 7,01 7 40,08 40,08 280,9608 280,56 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-07 7,065 7,055 40,8 40,8 288,252 287,844 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-08 7,123 7,113 40,83 40,83 290,83209 290,42379 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-09 7,1 7,09 40,84 40,84 289,964 289,5556 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-10 7,088 7,078 40,34 40,34 285,92992 285,52652 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-11 7,068 7,058 40,35 40,35 285,1938 284,7903 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-14 7,03 7,02 40,72 40,72 286,2616 285,8544 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-15 7,005 6,995 40,92 40,92 286,6446 286,2354 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-16 6,973 6,963 41,19 41,19 287,21787 286,80597 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-17 6,97 6,96 41,09 41,09 286,3973 285,9864 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-18 6,965 6,955 40,54 40,54 282,3611 281,9557 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-21 6,978 6,968 40,48 40,48 282,46944 282,06464 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-22 6,905 6,895 40,49 40,49 279,58345 279,17855 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-23 6,895 6,885 40,17 40,17 276,97215 276,57045 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-24 6,858 6,848 40,15 40,15 275,3487 274,9472 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-25 6,885 6,875 40,42 40,42 278,2917 277,8875 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-02-28 6,828 6,818 40,68 40,68 277,76304 277,35624 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-01 6,87 6,86 40,64 40,64 279,1968 278,7904 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-02 6,888 6,878 40,92 40,92 281,85696 281,44776 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-03 6,903 6,893 40,76 40,76 281,36628 280,95868 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-04 6,9 6,89 40,61 40,61 280,209 279,8029 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-07 6,84 6,83 40,8 40,8 279,072 278,664 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-08 6,825 6,815 41,23 41,23 281,39475 280,98245 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-09 6,76 6,75 40,95 40,95 276,822 276,4125 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-10 6,745 6,735 40,89 40,89 275,80305 275,39415 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-11 6,765 6,755 40,97 40,97 277,16205 276,75235 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-14 6,76 6,75 40,45 40,45 273,442 273,0375 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-15 6,815 6,805 40,47 40,47 275,80305 275,39835 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-16 6,81 6,8 40,09 40,09 273,0129 272,612 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-17 6,795 6,785 39,75 39,75 270,10125 269,70375 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-18 6,828 6,818 39,74 39,74 271,34472 270,94732 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-21 6,908 6,898 39,43 39,43 272,38244 271,98814 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-22 6,928 6,918 39,39 39,39 272,89392 272,50002 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-23 6,973 6,963 39,05 39,05 272,29565 271,90515 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-24 7,008 6,998 39,13 39,13 274,22304 273,83174 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-29 7,055 7,045 39,15 39,15 276,20325 275,81175 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-30 7,053 7,043 38,97 38,97 274,85541 274,46571 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-03-31 7,065 7,055 39,5 39,5 279,0675 278,6725 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-01 7,07 7,06 39,42 39,42 278,6994 278,3052 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-04 7,113 7,103 39,24 39,24 279,11412 278,72172 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-05 7,163 7,153 39,21 39,21 280,86123 280,46913 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-06 7,125 7,115 39,29 39,29 279,94125 279,54835 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-07 7,083 7,073 39,1 39,1 276,9453 276,5543 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-08 7,153 7,143 39,53 39,53 282,75809 282,36279 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-11 7,098 7,088 39,27 39,27 278,73846 278,34576 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-12 7,048 7,038 39,14 39,14 275,85872 275,46732 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-13 7,075 7,065 39,18 39,18 277,1985 276,8067 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-14 7,12 7,11 38,64 38,64 275,1168 274,7304 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-15 7,17 7,16 38,11 38,11 273,2487 272,8676 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-18 7,08 7,07 37,07 37,07 262,4556 262,0849 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-19 7,068 7,058 37 37 261,516 261,146 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-20 7,043 7,033 37,47 37,47 263,90121 263,52651 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-21 7,025 7,015 37,29 37,29 261,96225 261,58935 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-22 7,023 7,013 38,33 38,33 269,19159 268,80829 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-25 7,04 7,03 38 38 267,52 267,14 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-26 7,035 7,025 38,25 38,25 269,08875 268,70625 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-27 7,085 7,075 37,61 37,61 266,46685 266,09075 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-28 7,085 7,075 37,57 37,57 266,18345 265,80775 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-04-29 7,08 7,07 37,13 37,13 262,8804 262,5091 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-02 7,15 7,14 37,44 37,44 267,696 267,3216 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-03 7,178 7,168 37,46 37,46 268,88788 268,51328 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-04 7,11 7,1 37,7 37,7 268,047 267,67 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-06 7,085 7,075 38,16 38,16 270,3636 269,982 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-09 7,168 7,158 38,41 38,41 275,32288 274,93878 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-10 7,178 7,168 38,47 38,47 276,13766 275,75296 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-11 7,15 7,14 38,14 38,14 272,701 272,3196 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-12 7,243 7,233 38,29 38,29 277,33447 276,95157 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-13 7,265 7,255 38,31 38,31 278,32215 277,93905 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-17 7,313 7,303 39,18 39,18 286,52334 286,13154 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-18 7,3 7,29 39,37 39,37 287,401 287,0073 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-19 7,26 7,25 39,83 39,83 289,1658 288,7675 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-20 7,28 7,27 40,04 40,04 291,4912 291,0908 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-23 7,32 7,31 40,09 40,09 293,4588 293,0579 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-24 7,295 7,285 40,22 40,22 293,4049 293,0027 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-25 7,298 7,288 40,4 40,4 294,8392 294,4352 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-26 7,33 7,32 40,16 40,16 294,3728 293,9712 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-27 7,338 7,328 40,56 40,56 297,62928 297,22368 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-30 7,338 7,328 40,65 40,65 298,2897 297,8832 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-05-31 7,403 7,393 40,65 40,65 300,93195 300,52545 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-01 7,428 7,418 40,32 40,32 299,49696 299,09376 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-02 7,473 7,463 40,72 40,72 304,30056 303,89336 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-03 7,438 7,428 40,92 40,92 304,36296 303,95376 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-07 7,448 7,438 40,46 40,46 301,34608 300,94148 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-08 7,435 7,425 40,34 40,34 299,9279 299,5245 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-09 7,523 7,513 40,35 40,35 303,55305 303,14955 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-10 7,525 7,515 40,54 40,54 305,0635 304,6581 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-13 7,643 7,633 40,24 40,24 307,55432 307,15192 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-14 7,663 7,653 40,32 40,32 308,97216 308,56896 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-15 7,693 7,683 40,19 40,19 309,18167 308,77977 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-16 7,678 7,668 40,33 40,33 309,65374 309,25044 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-17 7,643 7,633 40,48 40,48 309,38864 308,98384 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-20 7,543 7,533 40,52 40,52 305,64236 305,23716 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-21 7,648 7,638 40,45 40,45 309,3616 308,9571 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-22 7,608 7,598 40,61 40,61 308,96088 308,55478 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-27 7,73 7,72 39,87 39,87 308,1951 307,7964 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-28 7,76 7,75 39,57 39,57 307,0632 306,6675 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-29 7,833 7,823 39,92 39,92 312,69336 312,29416 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-06-30 7,823 7,813 40,05 40,05 313,31115 312,91065 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-01 7,858 7,848 39,74 39,74 312,27692 311,87952 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-04 7,945 7,935 39,75 39,75 315,81375 315,41625 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-05 7,963 7,953 39,72 39,72 316,29036 315,89316 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-06 7,895 7,885 39,87 39,87 314,77365 314,37495 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-07 7,878 7,868 39,92 39,92 314,48976 314,09056 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-08 7,913 7,903 39,84 39,84 315,25392 314,85552 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-11 7,89 7,88 40,39 40,39 318,6771 318,2732 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-12 7,77 7,76 40,88 40,88 317,6376 317,2288 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-13 7,703 7,693 42,21 42,21 325,14363 324,72153 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-14 7,76 7,75 41,45 41,45 321,652 321,2375 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-15 7,76 7,75 41,77 41,77 324,1352 323,7175 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-18 7,78 7,77 41,71 41,71 324,5038 324,0867 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-19 7,878 7,868 41,47 41,47 326,70066 326,28596 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-20 7,818 7,808 42,1 42,1 329,1378 328,7168 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-21 7,775 7,765 42,29 42,29 328,80475 328,38185 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-22 7,758 7,748 42,04 42,04 326,14632 325,72592 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-25 7,838 7,828 41,73 41,73 327,07974 326,66244 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-26 7,818 7,808 41,5 41,5 324,447 324,032 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-27 7,905 7,895 41,51 41,51 328,13655 327,72145 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-28 7,848 7,838 41,6 41,6 326,4768 326,0608 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-07-29 7,748 7,738 41,57 41,57 322,08436 321,66866 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-01 7,72 7,71 41,32 41,32 318,9904 318,5772 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-02 7,7 7,69 41,38 41,38 318,626 318,2122 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-03 7,685 7,675 42,04 42,04 323,0774 322,657 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-04 7,618 7,608 42,12 42,12 320,87016 320,44896 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-05 7,548 7,538 41,8 41,8 315,5064 315,0884 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-08 7,558 7,548 41,58 41,58 314,26164 313,84584 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-09 7,548 7,538 41,35 41,35 312,1098 311,6963 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-10 7,558 7,548 41,62 41,62 314,56396 314,14776 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-11 7,523 7,513 41,26 41,26 310,39898 309,98638 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-12 7,46 7,45 41,49 41,49 309,5154 309,1005 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-16 7,523 7,513 41,49 41,49 312,12927 311,71437 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-17 7,605 7,595 40,87 40,87 310,81635 310,40765 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-18 7,61 7,6 41,02 41,02 312,1622 311,752 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-19 7,698 7,688 40,72 40,72 313,46256 313,05536 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-22 7,69 7,68 40,81 40,81 313,8289 313,4208 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-23 7,663 7,653 40,86 40,86 313,11018 312,70158 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-24 7,673 7,663 40,78 40,78 312,90494 312,49714 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-25 7,588 7,578 40,55 40,55 307,6934 307,2879 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-26 7,578 7,568 40,6 40,6 307,6668 307,2608 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-29 7,573 7,563 40,52 40,52 306,85796 306,45276 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-30 7,633 7,623 40,69 40,69 310,58677 310,17987 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-08-31 7,668 7,658 40,57 40,57 311,09076 310,68506 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-01 7,568 7,558 40,84 40,84 309,07712 308,66872 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-02 7,435 7,425 40,81 40,81 303,42235 303,01425 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-05 7,41 7,4 40,84 40,84 302,6244 302,216 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-06 7,485 7,475 40,89 40,89 306,06165 305,65275 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-07 7,43 7,42 41,29 41,29 306,7847 306,3718 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-08 7,498 7,488 41,38 41,38 310,26724 309,85344 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-09 7,523 7,513 41,4 41,4 311,4522 311,0382 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-12 7,555 7,545 41,84 41,84 316,1012 315,6828 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-13 7,57 7,56 41,97 41,97 317,7129 317,2932 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-14 7,61 7,6 41,92 41,92 319,0112 318,592 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-15 7,658 7,648 41,55 41,55 318,1899 317,7744 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-16 7,613 7,603 41,4 41,4 315,1782 314,7642 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-19 7,698 7,688 41,53 41,53 319,69794 319,28264 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-20 7,688 7,678 41,28 41,28 317,36064 316,94784 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-21 7,663 7,653 41,16 41,16 315,40908 314,99748 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-22 7,648 7,638 40,86 40,86 312,49728 312,08868 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-23 7,733 7,723 40,77 40,77 315,27441 314,86671 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-26 7,798 7,788 40,72 40,72 317,53456 317,12736 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-27 7,825 7,815 40,75 40,75 318,86875 318,46125 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-28 7,81 7,8 40,58 40,58 316,9298 316,524 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-29 7,785 7,775 40,77 40,77 317,39445 316,98675 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-09-30 7,785 7,775 41,15 41,15 320,35275 319,94125 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-03 7,783 7,773 41,45 41,45 322,60535 322,19085 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-04 7,82 7,81 41,52 41,52 324,6864 324,2712 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-05 7,795 7,785 41,39 41,39 322,63505 322,22115 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-06 7,713 7,703 40,97 40,97 316,00161 315,59191 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-07 7,683 7,673 40,51 40,51 311,23833 310,83323 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-10 7,698 7,688 40,51 40,51 311,84598 311,44088 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-11 7,77 7,76 40,25 40,25 312,7425 312,34 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-12 7,805 7,795 40,04 40,04 312,5122 312,1118 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-13 7,83 7,82 39,79 39,79 311,5557 311,1578 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-14 7,833 7,823 39,83 39,83 311,98839 311,59009 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-17 7,835 7,825 40 40 313,4 313 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-18 7,893 7,883 40,08 40,08 316,35144 315,95064 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-19 7,96 7,95 39,83 39,83 317,0468 316,6485 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-20 7,93 7,92 40,13 40,13 318,2309 317,8296 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-21 7,883 7,873 39,83 39,83 313,97989 313,58159 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-24 7,995 7,985 40,33 40,33 322,43835 322,03505 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-25 7,99 7,98 40,66 40,66 324,8734 324,4668 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-26 7,868 7,858 40,69 40,69 320,14892 319,74202 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-27 7,868 7,858 40,58 40,58 319,28344 318,87764 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-28 7,825 7,815 40,12 40,12 313,939 313,5378 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-10-31 7,905 7,895 40,22 40,22 317,9391 317,5369 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-02 7,98 7,97 40,22 40,22 320,9556 320,5534 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-03 8,01 8 40,8 40,8 326,808 326,4 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-04 8,028 8,018 41,2 41,2 330,7536 330,3416 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-07 8,135 8,125 41,55 41,55 338,00925 337,59375 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-08 8,17 8,16 41,7 41,7 340,689 340,272 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-09 8,12 8,11 41,61 41,61 337,8732 337,4571 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-10 8,173 8,163 41,57 41,57 339,75161 339,33591 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-11 8,235 8,225 41,81 41,81 344,30535 343,88725 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-14 8,133 8,123 41,99 41,99 341,50467 341,08477 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-15 8,185 8,175 42,07 42,07 344,34295 343,92225 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-16 8,21 8,2 41,99 41,99 344,7379 344,318 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-17 8,258 8,248 42,06 42,06 347,33148 346,91088 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-18 8,223 8,213 42,52 42,52 349,64196 349,21676 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-21 8,123 8,113 42,56 42,56 345,71488 345,28928 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-22 8,15 8,14 42,79 42,79 348,7385 348,3106 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-23 8,048 8,038 42,91 42,91 345,33968 344,91058 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-24 8,053 8,043 43,24 43,24 348,21172 347,77932 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-25 8,078 8,068 43,32 43,32 349,93896 349,50576 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-28 8,118 8,108 43,41 43,41 352,40238 351,96828 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-29 8,015 8,005 43,4 43,4 347,851 347,417 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-11-30 8,088 8,078 43,13 43,13 348,83544 348,40414 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-01 8,083 8,073 43,01 43,01 347,64983 347,21973 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-02 8,103 8,093 43,78 43,78 354,74934 354,31154 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-05 8,045 8,035 43,96 43,96 353,6582 353,2186 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-06 7,993 7,983 43,63 43,63 348,73459 348,29829 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-07 8,015 8,005 43,75 43,75 350,65625 350,21875 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-08 7,988 7,978 43,67 43,67 348,83596 348,39926 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-12 7,953 7,943 43,71 43,71 347,62563 347,18853 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-13 7,905 7,895 44,02 44,02 347,9781 347,5379 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-14 7,848 7,838 44,12 44,12 346,25376 345,81256 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-15 7,858 7,848 44,13 44,13 346,77354 346,33224 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-16 7,903 7,893 44,01 44,01 347,81103 347,37093 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-19 7,865 7,855 43,94 43,94 345,5881 345,1487 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-20 7,848 7,838 43,6 43,6 342,1728 341,7368 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-21 7,948 7,938 43,45 43,45 345,3406 344,9061 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-22 7,98 7,97 43,49 43,49 347,0502 346,6153 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-23 7,955 7,945 43,78 43,78 348,2699 347,8321 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-27 8,01 8 43,86 43,86 351,3186 350,88 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-28 7,915 7,905 43,46 43,46 343,9859 343,5513 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-29 7,938 7,928 43,49 43,49 345,22362 344,78872 812941 ING Investment Management Belgium S.A. ING (L) Invest IT USD 2005-12-30 7,958 7,948 43,34 43,34 344,89972 344,46632 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-03 0,0649 0,0648 3557 3557 230,8493 230,4936 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-04 0,06545 0,06535 3556 3556 232,7402 232,3846 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-05 0,0653 0,0652 3565 3565 232,7945 232,438 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-07 0,06565 0,06555 3550 3550 233,0575 232,7025 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-10 0,06651 0,06641 3546 3546 235,84446 235,48986 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-11 0,06651 0,06641 3546 3546 235,84446 235,48986 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-12 0,06685 0,06675 3581 3581 239,38985 239,03175 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-13 0,06685 0,06675 3548 3548 237,1838 236,829 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-14 0,0672 0,0671 3518 3518 236,4096 236,0578 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-17 0,0679 0,0678 3535 3535 240,0265 239,673 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-18 0,0679 0,0678 3544 3544 240,6376 240,2832 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-19 0,06745 0,06735 3535 3535 238,43575 238,08225 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-20 0,06765 0,06755 3530 3530 238,8045 238,4515 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-21 0,06725 0,06715 3491 3491 234,76975 234,42065 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-24 0,06745 0,06735 3486 3486 235,1307 234,7821 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-25 0,0674 0,0673 3504 3504 236,1696 235,8192 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-26 0,06755 0,06745 3502 3502 236,5601 236,2099 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-27 0,0672 0,0671 3528 3528 237,0816 236,7288 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-28 0,0677 0,0676 3524 3524 238,5748 238,2224 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-01-31 0,0676 0,0675 3517 3517 237,7492 237,3975 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-01 0,06725 0,06715 3534 3534 237,6615 237,3081 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-02 0,0671 0,067 3532 3532 236,9972 236,644 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-03 0,06695 0,06685 3539 3539 236,93605 236,58215 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-04 0,0671 0,067 3535 3535 237,1985 236,845 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-07 0,0677 0,0676 3519 3519 238,2363 237,8844 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-08 0,06765 0,06755 3543 3543 239,68395 239,32965 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-09 0,06725 0,06715 3548 3548 238,603 238,2482 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-10 0,06715 0,06705 3550 3550 238,3825 238,0275 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-11 0,06695 0,06685 3564 3564 238,6098 238,2534 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-14 0,0671 0,067 3564 3564 239,1444 238,788 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-15 0,0667 0,0666 3591 3591 239,5197 239,1606 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-16 0,06635 0,06625 3597 3597 238,66095 238,30125 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-17 0,06615 0,06605 3585 3585 237,14775 236,78925 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-18 0,06615 0,06605 3573 3573 236,35395 235,99665 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-21 0,06605 0,06595 3597 3597 237,58185 237,22215 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-22 0,06605 0,06595 3602 3602 237,9121 237,5519 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-23 0,0658 0,0657 3594 3594 236,4852 236,1258 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-24 0,0655 0,0654 3566 3566 233,573 233,2164 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-25 0,06545 0,06535 3577 3577 234,11465 233,75695 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-02-28 0,06545 0,06535 3604 3604 235,8818 235,5214 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-01 0,06565 0,06555 3639 3639 238,90035 238,53645 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-02 0,06585 0,06575 3650 3650 240,3525 239,9875 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-03 0,06575 0,06565 3660 3660 240,645 240,279 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-04 0,06545 0,06535 3672 3672 240,3324 239,9652 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-07 0,0652 0,0651 3686 3686 240,3272 239,9586 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-08 0,06505 0,06495 3708 3708 241,2054 240,8346 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-09 0,06465 0,06455 3696 3696 238,9464 238,5768 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-10 0,06485 0,06475 3714 3714 240,8529 240,4815 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-11 0,065 0,0649 3706 3706 240,89 240,5194 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-14 0,0647 0,0646 3712 3712 240,1664 239,7952 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-15 0,06505 0,06495 3687 3687 239,83935 239,47065 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-16 0,06535 0,06525 3691 3691 241,20685 240,83775 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-17 0,0652 0,0651 3706 3706 241,6312 241,2606 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-18 0,0652 0,0651 3687 3687 240,3924 240,0237 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-21 0,0657 0,0656 3721 3721 244,4697 244,0976 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-22 0,06595 0,06585 3720 3720 245,334 244,962 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-23 0,06615 0,06605 3714 3714 245,6811 245,3097 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-24 0,0659 0,0658 3692 3692 243,3028 242,9336 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-29 0,06595 0,06585 3713 3713 244,87235 244,50105 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-30 0,06575 0,06565 3653 3653 240,18475 239,81945 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-03-31 0,06595 0,06585 3634 3634 239,6623 239,2989 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-01 0,06585 0,06575 3670 3670 241,6695 241,3025 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-04 0,06595 0,06585 3690 3690 243,3555 242,9865 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-05 0,06585 0,06575 3685 3685 242,65725 242,28875 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-06 0,06595 0,06585 3708 3708 244,5426 244,1718 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-07 0,06545 0,06535 3728 3728 243,9976 243,6248 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-08 0,0658 0,0657 3738 3738 245,9604 245,5866 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-11 0,06555 0,06545 3746 3746 245,5503 245,1757 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-12 0,06545 0,06535 3707 3707 242,62315 242,25245 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-13 0,0659 0,0658 3673 3673 242,0507 241,6834 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-14 0,06615 0,06605 3666 3666 242,5059 242,1393 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-15 0,06625 0,06615 3642 3642 241,2825 240,9183 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-18 0,0658 0,0657 3578 3578 235,4324 235,0746 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-19 0,06595 0,06585 3457 3457 227,98915 227,64345 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-20 0,0659 0,0658 3512 3512 231,4408 231,0896 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-21 0,0657 0,0656 3529 3529 231,8553 231,5024 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-22 0,06585 0,06575 3503 3503 230,67255 230,32225 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-25 0,0666 0,0665 3521 3521 234,4986 234,1465 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-26 0,0664 0,0663 3520 3520 233,728 233,376 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-27 0,06675 0,06665 3512 3512 234,426 234,0748 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-28 0,0669 0,0668 3509 3509 234,7521 234,4012 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-04-29 0,06725 0,06715 3513 3513 236,24925 235,89795 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-02 0,068 0,0679 3512 3512 238,816 238,4648 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-03 0,06825 0,06815 3519 3519 240,17175 239,81985 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-04 0,0679 0,0678 3519 3519 238,9401 238,5882 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-06 0,0677 0,0676 3519 3519 238,2363 237,8844 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-09 0,06805 0,06795 3580 3580 243,619 243,261 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-10 0,0678 0,0677 3581 3581 242,7918 242,4337 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-11 0,06765 0,06755 3565 3565 241,17225 240,81575 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-12 0,06815 0,06805 3553 3553 242,13695 241,78165 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-13 0,068 0,0679 3537 3537 240,516 240,1623 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-17 0,06825 0,06815 3484 3484 237,783 237,4346 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-18 0,06785 0,06775 3464 3464 235,0324 234,686 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-19 0,06775 0,06765 3450 3450 233,7375 233,3925 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-20 0,0677 0,0676 3520 3520 238,304 237,952 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-23 0,06775 0,06765 3515 3515 238,14125 237,78975 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-24 0,0679 0,0678 3539 3539 240,2981 239,9442 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-25 0,06795 0,06785 3539 3539 240,47505 240,12115 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-26 0,06785 0,06775 3508 3508 238,0178 237,667 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-27 0,06805 0,06795 3504 3504 238,4472 238,0968 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-30 0,068 0,0679 3532 3532 240,176 239,8228 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-05-31 0,06835 0,06825 3564 3564 243,5994 243,243 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-01 0,06855 0,06845 3567 3567 244,51785 244,16115 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-02 0,069 0,0689 3580 3580 247,02 246,662 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-03 0,06895 0,06885 3580 3580 246,841 246,483 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-07 0,06975 0,06965 3575 3575 249,35625 248,99875 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-08 0,0696 0,0695 3561 3561 247,8456 247,4895 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-09 0,0702 0,0701 3587 3587 251,8074 251,4487 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-10 0,0701 0,07 3553 3553 249,0653 248,71 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-13 0,07035 0,07025 3583 3583 252,06405 251,70575 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-14 0,0701 0,07 3583 3583 251,1683 250,81 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-15 0,07045 0,07035 3595 3595 253,26775 252,90825 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-16 0,07025 0,07015 3617 3617 254,09425 253,73255 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-17 0,0702 0,0701 3618 3618 253,9836 253,6218 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-20 0,06935 0,06925 3655 3655 253,47425 253,10875 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-21 0,06995 0,06985 3648 3648 255,1776 254,8128 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-22 0,07015 0,07005 3640 3640 255,346 254,982 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-27 0,07085 0,07075 3664 3664 259,5944 259,228 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-28 0,0707 0,0706 3627 3627 256,4289 256,0662 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-29 0,0711 0,071 3653 3653 259,7283 259,363 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-06-30 0,0709 0,0708 3668 3668 260,0612 259,6944 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-01 0,07065 0,07055 3669 3669 259,21485 258,84795 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-04 0,07125 0,07115 3681 3681 262,27125 261,90315 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-05 0,07115 0,07105 3687 3687 262,33005 261,96135 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-06 0,07075 0,07065 3674 3674 259,9355 259,5681 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-07 0,07025 0,07015 3677 3677 258,30925 257,94155 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-08 0,07045 0,07035 3673 3673 258,76285 258,39555 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-11 0,0705 0,0704 3660 3660 258,03 257,664 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-12 0,0699 0,0698 3682 3682 257,3718 257,0036 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-13 0,06915 0,06905 3684 3684 254,7486 254,3802 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-14 0,0694 0,0693 3681 3681 255,4614 255,0933 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-15 0,0694 0,0693 3700 3700 256,78 256,41 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-18 0,0694 0,0693 3702 3702 256,9188 256,5486 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-19 0,06995 0,06985 3702 3702 258,9549 258,5847 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-20 0,0691 0,069 3702 3702 255,8082 255,438 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-21 0,06925 0,06915 3713 3713 257,12525 256,75395 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-22 0,06995 0,06985 3707 3707 259,30465 258,93395 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-25 0,07005 0,06995 3707 3707 259,67535 259,30465 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-26 0,06995 0,06985 3697 3697 258,60515 258,23545 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-27 0,07015 0,07005 3686 3686 258,5729 258,2043 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-28 0,0697 0,0696 3718 3718 259,1446 258,7728 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-07-29 0,06915 0,06905 3730 3730 257,9295 257,5565 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-01 0,0689 0,0688 3747 3747 258,1683 257,7936 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-02 0,0691 0,069 3777 3777 260,9907 260,613 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-03 0,06885 0,06875 3774 3774 259,8399 259,4625 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-04 0,0686 0,0685 3785 3785 259,651 259,2725 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-05 0,0678 0,0677 3757 3757 254,7246 254,3489 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-08 0,0674 0,0673 3712 3712 250,1888 249,8176 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-09 0,06745 0,06735 3723 3723 251,11635 250,74405 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-10 0,06805 0,06795 3770 3770 256,5485 256,1715 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-11 0,06825 0,06815 3830 3830 261,3975 261,0145 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-12 0,06805 0,06795 3890 3890 264,7145 264,3255 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-16 0,06895 0,06885 3908 3908 269,4566 269,0658 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-17 0,06915 0,06905 3915 3915 270,72225 270,33075 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-18 0,0691 0,069 3912 3912 270,3192 269,928 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-19 0,06965 0,06955 3925 3925 273,37625 272,98375 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-22 0,07 0,0699 3923 3923 274,61 274,2177 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-23 0,06965 0,06955 3992 3992 278,0428 277,6436 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-24 0,0694 0,0693 3996 3996 277,3224 276,9228 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-25 0,06905 0,06895 4013 4013 277,09765 276,69635 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-26 0,069 0,0689 3989 3989 275,241 274,8421 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-29 0,0687 0,0686 4009 4009 275,4183 275,0174 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-30 0,0688 0,0687 3964 3964 272,7232 272,3268 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-08-31 0,0688 0,0687 4019 4019 276,5072 276,1053 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-01 0,06825 0,06815 4006 4006 273,4095 273,0089 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-02 0,0678 0,0677 4026 4026 272,9628 272,5602 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-05 0,06775 0,06765 4039 4039 273,64225 273,23835 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-06 0,06825 0,06815 4069 4069 277,70925 277,30235 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-07 0,0678 0,0677 4050 4050 274,59 274,185 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-08 0,068 0,0679 4041 4041 274,788 274,3839 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-09 0,0681 0,068 4014 4014 273,3534 272,952 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-12 0,06875 0,06865 4063 4063 279,33125 278,92495 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-13 0,0685 0,0684 4114 4114 281,809 281,3976 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-14 0,0688 0,0687 4129 4129 284,0752 283,6623 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-15 0,06925 0,06915 4112 4112 284,756 284,3448 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-16 0,0688 0,0687 4174 4174 287,1712 286,7538 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-19 0,06905 0,06895 4176 4176 288,3528 287,9352 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-20 0,0691 0,069 4175 4175 288,4925 288,075 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-21 0,06865 0,06855 4252 4252 291,8998 291,4746 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-22 0,06875 0,06865 4260 4260 292,875 292,449 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-23 0,0692 0,0691 4262 4262 294,9304 294,5042 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-26 0,06935 0,06925 4261 4261 295,50035 295,07425 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-27 0,0693 0,0692 4359 4359 302,0787 301,6428 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-28 0,06915 0,06905 4363 4363 301,70145 301,26515 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-29 0,06895 0,06885 4462 4462 307,6549 307,2087 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-09-30 0,06865 0,06855 4558 4558 312,9067 312,4509 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-03 0,06835 0,06825 4512 4512 308,3952 307,944 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-04 0,0685 0,0684 4532 4532 310,442 309,9888 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-05 0,06845 0,06835 4563 4563 312,33735 311,88105 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-06 0,06785 0,06775 4511 4511 306,07135 305,62025 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-07 0,06775 0,06765 4381 4381 296,81275 296,37465 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-10 0,06775 0,06765 4403 4403 298,30325 297,86295 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-11 0,0681 0,068 4402 4402 299,7762 299,336 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-12 0,0681 0,068 4525 4525 308,1525 307,7 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-13 0,0682 0,0681 4521 4521 308,3322 307,8801 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-14 0,0684 0,0683 4526 4526 309,5784 309,1258 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-17 0,0686 0,0685 4495 4495 308,357 307,9075 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-18 0,0684 0,0683 4476 4476 306,1584 305,7108 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-19 0,06865 0,06855 4477 4477 307,34605 306,89835 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-20 0,0686 0,0685 4437 4437 304,3782 303,9345 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-21 0,06845 0,06835 4443 4443 304,12335 303,67905 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-24 0,0692 0,0691 4447 4447 307,7324 307,2877 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-25 0,0691 0,069 4414 4414 305,0074 304,566 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-26 0,06825 0,06815 4463 4463 304,59975 304,15345 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-27 0,06825 0,06815 4516 4516 308,217 307,7654 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-28 0,06795 0,06785 4563 4563 310,05585 309,59955 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-10-31 0,0684 0,0683 4545 4545 310,878 310,4235 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-02 0,06825 0,06815 4743 4743 323,70975 323,23545 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-03 0,06855 0,06845 4737 4737 324,72135 324,24765 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-04 0,06825 0,06815 4737 4737 323,30025 322,82655 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-07 0,069 0,0689 4814 4814 332,166 331,6846 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-08 0,0693 0,0692 4829 4829 334,6497 334,1668 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-09 0,0692 0,0691 4831 4831 334,3052 333,8221 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-10 0,06945 0,06935 4800 4800 333,36 332,88 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-11 0,0699 0,0698 4778 4778 333,9822 333,5044 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-14 0,0689 0,0688 4812 4812 331,5468 331,0656 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-15 0,0689 0,0688 4765 4765 328,3085 327,832 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-16 0,06895 0,06885 4740 4740 326,823 326,349 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-17 0,06955 0,06945 4770 4770 331,7535 331,2765 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-18 0,0689 0,0688 4863 4863 335,0607 334,5744 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-21 0,0682 0,0681 4936 4936 336,6352 336,1416 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-22 0,06845 0,06835 4924 4924 337,0478 336,5554 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-23 0,068 0,0679 4910 4910 333,88 333,389 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-24 0,06785 0,06775 4910 4910 333,1435 332,6525 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-25 0,06775 0,06765 4893 4893 331,50075 331,01145 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-28 0,0677 0,0676 4929 4929 333,6933 333,2004 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-29 0,06735 0,06725 4986 4986 335,8071 335,3085 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-11-30 0,0677 0,0676 5001 5001 338,5677 338,0676 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-01 0,06745 0,06735 4981 4981 335,96845 335,47035 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-02 0,0672 0,0671 5058 5058 339,8976 339,3918 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-05 0,06635 0,06625 5140 5140 341,039 340,525 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-06 0,066 0,0659 5199 5199 343,134 342,6141 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-07 0,06635 0,06625 5172 5172 343,1622 342,645 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-08 0,06635 0,06625 5194 5194 344,6219 344,1025 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-12 0,06595 0,06585 5187 5187 342,08265 341,56395 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-13 0,06585 0,06575 5271 5271 347,09535 346,56825 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-14 0,0662 0,0661 5310 5310 351,522 350,991 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-15 0,06745 0,06735 5237 5237 353,23565 352,71195 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-16 0,06805 0,06795 5168 5168 351,6824 351,1656 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-19 0,06765 0,06755 5149 5149 348,32985 347,81495 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-20 0,06735 0,06725 5171 5171 348,26685 347,74975 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-21 0,06795 0,06785 5266 5266 357,8247 357,2981 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-22 0,06795 0,06785 5345 5345 363,19275 362,65825 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-23 0,06825 0,06815 5349 5349 365,06925 364,53435 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-27 0,06855 0,06845 5390 5390 369,4845 368,9455 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-28 0,06765 0,06755 5359 5359 362,53635 362,00045 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-29 0,0674 0,0673 5423 5423 365,5102 364,9679 920439 ING Investment Management Belgium S.A. ING (L) Invest Japan JPY 2005-12-30 0,06785 0,06775 5443 5443 369,30755 368,76325 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-03 6,668 6,658 911,88 911,88 6080,41584 6071,29704 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-04 6,728 6,718 899,05 899,05 6048,8084 6039,8179 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-05 6,828 6,818 867,17 867,17 5921,03676 5912,36506 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-07 6,87 6,86 852,76 852,76 5858,4612 5849,9336 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-10 6,96091 6,95091 859,91 859,91 5985,7561181 5977,1570181 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-11 6,96091 6,95091 857,28 857,28 5967,4489248 5958,8761248 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-12 6,913 6,903 847,15 847,15 5856,34795 5847,87645 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-13 6,843 6,833 856,98 856,98 5864,31414 5855,74434 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-14 6,915 6,905 865,34 865,34 5983,8261 5975,1727 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-17 6,915 6,905 879,66 879,66 6082,8489 6074,0523 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-18 6,968 6,958 880,15 880,15 6132,8852 6124,0837 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-19 6,91 6,9 871,72 871,72 6023,5852 6014,868 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-20 6,96 6,95 869,31 869,31 6050,3976 6041,7045 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-21 6,978 6,968 850,41 850,41 5934,16098 5925,65688 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-24 6,933 6,923 858,72 858,72 5953,50576 5944,91856 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-25 6,95 6,94 866,31 866,31 6020,8545 6012,1914 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-26 6,995 6,985 868,33 868,33 6073,96835 6065,28505 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-27 6,93 6,92 884,19 884,19 6127,4367 6118,5948 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-28 6,985 6,975 875,68 875,68 6116,6248 6107,868 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-01-31 6,998 6,988 878,03 878,03 6144,45394 6135,67364 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-01 6,993 6,983 894,58 894,58 6255,79794 6246,85214 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-02 6,953 6,943 905,01 905,01 6292,53453 6283,48443 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-03 6,968 6,958 911,66 911,66 6352,44688 6343,33028 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-04 7,01 7 919,47 919,47 6445,4847 6436,29 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-07 7,065 7,055 933,42 933,42 6594,6123 6585,2781 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-08 7,123 7,113 943,38 943,38 6719,69574 6710,26194 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-09 7,1 7,09 943,97 943,97 6702,187 6692,7473 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-10 7,088 7,078 949,27 949,27 6728,42576 6718,93306 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-11 7,068 7,058 947,58 947,58 6697,49544 6688,01964 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-14 7,03 7,02 955,59 955,59 6717,7977 6708,2418 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-15 7,005 6,995 963,2 963,2 6747,216 6737,584 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-16 6,973 6,963 963,72 963,72 6720,01956 6710,38236 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-17 6,97 6,96 962,35 962,35 6707,5795 6697,956 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-18 6,965 6,955 969,16 969,16 6750,1994 6740,5078 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-21 6,978 6,968 968,21 968,21 6756,16938 6746,48728 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-22 6,905 6,895 967,95 967,95 6683,69475 6674,01525 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-23 6,895 6,885 969,8 969,8 6686,771 6677,073 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-24 6,858 6,848 981,25 981,25 6729,4125 6719,6 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-25 6,885 6,875 1001,65 1001,65 6896,36025 6886,34375 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-02-28 6,828 6,818 1010,87 1010,87 6902,22036 6892,11166 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-01 6,87 6,86 1005,8 1005,8 6909,846 6899,788 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-02 6,888 6,878 992,17 992,17 6834,06696 6824,14526 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-03 6,903 6,893 994,35 994,35 6863,99805 6854,05455 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-04 6,9 6,89 1000,58 1000,58 6904,002 6893,9962 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-07 6,84 6,83 1021,01 1021,01 6983,7084 6973,4983 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-08 6,825 6,815 1019,48 1019,48 6957,951 6947,7562 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-09 6,76 6,75 1010,1 1010,1 6828,276 6818,175 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-10 6,745 6,735 992,68 992,68 6695,6266 6685,6998 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-11 6,765 6,755 977,29 977,29 6611,36685 6601,59395 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-14 6,76 6,75 976,01 976,01 6597,8276 6588,0675 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-15 6,815 6,805 952,97 952,97 6494,49055 6484,96085 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-16 6,81 6,8 941,97 941,97 6414,8157 6405,396 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-17 6,795 6,785 942,42 942,42 6403,7439 6394,3197 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-18 6,828 6,818 958,63 958,63 6545,52564 6535,93934 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-21 6,908 6,898 952,16 952,16 6577,52128 6567,99968 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-22 6,928 6,918 941,72 941,72 6524,23616 6514,81896 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-23 6,973 6,963 930,72 930,72 6489,91056 6480,60336 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-24 7,008 6,998 907,63 907,63 6360,67104 6351,59474 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-29 7,055 7,045 910,24 910,24 6421,7432 6412,6408 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-30 7,053 7,043 897,48 897,48 6329,92644 6320,95164 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-03-31 7,065 7,055 920,1 920,1 6500,5065 6491,3055 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-01 7,07 7,06 931,16 931,16 6583,3012 6573,9896 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-04 7,113 7,103 939,69 939,69 6684,01497 6674,61807 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-05 7,163 7,153 929,81 929,81 6660,22903 6650,93093 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-06 7,125 7,115 924,62 924,62 6587,9175 6578,6713 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-07 7,083 7,073 921,92 921,92 6529,95936 6520,74016 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-08 7,153 7,143 938,28 938,28 6711,51684 6702,13404 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-11 7,098 7,088 937,76 937,76 6656,22048 6646,84288 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-12 7,048 7,038 938,91 938,91 6617,43768 6608,04858 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-13 7,075 7,065 942,06 942,06 6665,0745 6655,6539 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-14 7,12 7,11 937,29 937,29 6673,5048 6664,1319 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-15 7,17 7,16 908,94 908,94 6517,0998 6508,0104 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-18 7,08 7,07 886,77 886,77 6278,3316 6269,4639 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-19 7,068 7,058 887,8 887,8 6274,9704 6266,0924 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-20 7,043 7,033 915,6 915,6 6448,5708 6439,4148 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-21 7,025 7,015 903,65 903,65 6348,14125 6339,10475 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-22 7,023 7,013 919,82 919,82 6459,89586 6450,69766 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-25 7,04 7,03 911,31 911,31 6415,6224 6406,5093 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-26 7,035 7,025 932,13 932,13 6557,53455 6548,21325 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-27 7,085 7,075 935,87 935,87 6630,63895 6621,28025 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-28 7,085 7,075 928,5 928,5 6578,4225 6569,1375 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-04-29 7,08 7,07 902,6 902,6 6390,408 6381,382 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-02 7,15 7,14 911,56 911,56 6517,654 6508,5384 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-03 7,178 7,168 922,72 922,72 6623,28416 6614,05696 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-04 7,11 7,1 925,03 925,03 6576,9633 6567,713 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-06 7,085 7,075 951,12 951,12 6738,6852 6729,174 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-09 7,168 7,158 955,73 955,73 6850,67264 6841,11534 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-10 7,178 7,168 956,95 956,95 6868,9871 6859,4176 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-11 7,15 7,14 941,72 941,72 6733,298 6723,8808 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-12 7,243 7,233 944,35 944,35 6839,92705 6830,48355 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-13 7,265 7,255 926,89 926,89 6733,85585 6724,58695 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-17 7,313 7,303 930,88 930,88 6807,52544 6798,21664 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-18 7,3 7,29 935,21 935,21 6827,033 6817,6809 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-19 7,26 7,25 959,03 959,03 6962,5578 6952,9675 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-20 7,28 7,27 965,25 965,25 7027,02 7017,3675 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-23 7,32 7,31 962,74 962,74 7047,2568 7037,6294 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-24 7,295 7,285 962,41 962,41 7020,78095 7011,15685 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-25 7,298 7,288 969,33 969,33 7074,17034 7064,47704 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-26 7,33 7,32 972,5 972,5 7128,425 7118,7 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-27 7,338 7,328 977,88 977,88 7175,68344 7165,90464 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-30 7,338 7,328 989,34 989,34 7259,77692 7249,88352 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-05-31 7,403 7,393 992 992 7343,776 7333,856 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-01 7,428 7,418 983,99 983,99 7309,07772 7299,23782 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-02 7,473 7,463 997,54 997,54 7454,61642 7444,64102 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-03 7,438 7,428 1021,34 1021,34 7596,72692 7586,51352 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-07 7,448 7,438 999,29 999,29 7442,71192 7432,71902 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-08 7,435 7,425 987,8 987,8 7344,293 7334,415 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-09 7,523 7,513 987,66 987,66 7430,16618 7420,28958 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-10 7,525 7,515 980,93 980,93 7381,49825 7371,68895 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-13 7,643 7,633 990,77 990,77 7572,45511 7562,54741 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-14 7,663 7,653 997,5 997,5 7643,8425 7633,8675 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-15 7,693 7,683 1012,03 1012,03 7785,54679 7775,42649 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-16 7,678 7,668 1017,64 1017,64 7813,43992 7803,26352 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-17 7,643 7,633 1033,47 1033,47 7898,81121 7888,47651 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-20 7,543 7,533 1044,72 1044,72 7880,32296 7869,87576 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-21 7,648 7,638 1044,88 1044,88 7991,24224 7980,79344 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-22 7,608 7,598 1040,06 1040,06 7912,77648 7902,37588 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-27 7,73 7,72 1016,59 1016,59 7858,2407 7848,0748 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-28 7,76 7,75 1032,12 1032,12 8009,2512 7998,93 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-29 7,833 7,823 1039,49 1039,49 8142,32517 8131,93027 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-06-30 7,823 7,813 1042,72 1042,72 8157,19856 8146,77136 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-01 7,858 7,848 1040,66 1040,66 8177,50628 8167,09968 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-04 7,945 7,935 1049,77 1049,77 8340,42265 8329,92495 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-05 7,963 7,953 1048,75 1048,75 8351,19625 8340,70875 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-06 7,895 7,885 1043,09 1043,09 8235,19555 8224,76465 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-07 7,878 7,868 1039,96 1039,96 8192,80488 8182,40528 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-08 7,913 7,903 1043,75 1043,75 8259,19375 8248,75625 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-11 7,89 7,88 1054,76 1054,76 8322,0564 8311,5088 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-12 7,77 7,76 1065,02 1065,02 8275,2054 8264,5552 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-13 7,703 7,693 1075,38 1075,38 8283,65214 8272,89834 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-14 7,76 7,75 1078,66 1078,66 8370,4016 8359,615 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-15 7,76 7,75 1081,25 1081,25 8390,5 8379,6875 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-18 7,78 7,77 1071,8 1071,8 8338,604 8327,886 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-19 7,878 7,868 1076,46 1076,46 8480,35188 8469,58728 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-20 7,818 7,808 1082,71 1082,71 8464,62678 8453,79968 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-21 7,775 7,765 1093,92 1093,92 8505,228 8494,2888 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-22 7,758 7,748 1096,71 1096,71 8508,27618 8497,30908 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-25 7,838 7,828 1092,63 1092,63 8564,03394 8553,10764 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-26 7,818 7,808 1057,23 1057,23 8265,42414 8254,85184 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-27 7,905 7,895 1062,35 1062,35 8397,87675 8387,25325 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-28 7,848 7,838 1080,74 1080,74 8481,64752 8470,84012 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-07-29 7,748 7,738 1101,35 1101,35 8533,2598 8522,2463 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-01 7,72 7,71 1109,49 1109,49 8565,2628 8554,1679 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-02 7,7 7,69 1125,7 1125,7 8667,89 8656,633 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-03 7,685 7,675 1148,79 1148,79 8828,45115 8816,96325 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-04 7,618 7,608 1155,06 1155,06 8799,24708 8787,69648 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-05 7,548 7,538 1152,59 1152,59 8699,74932 8688,22342 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-08 7,558 7,548 1147,4 1147,4 8672,0492 8660,5752 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-09 7,548 7,538 1153,08 1153,08 8703,44784 8691,91704 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-10 7,558 7,548 1172,84 1172,84 8864,32472 8852,59632 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-11 7,523 7,513 1183,12 1183,12 8900,61176 8888,78056 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-12 7,46 7,45 1167,98 1167,98 8713,1308 8701,451 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-16 7,523 7,513 1179,83 1179,83 8875,86109 8864,06279 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-17 7,605 7,595 1163,18 1163,18 8845,9839 8834,3521 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-18 7,61 7,6 1165,84 1165,84 8872,0424 8860,384 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-19 7,698 7,688 1151,65 1151,65 8865,4017 8853,8852 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-22 7,69 7,68 1133,71 1133,71 8718,2299 8706,8928 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-23 7,663 7,653 1159,81 1159,81 8887,62403 8876,02593 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-24 7,673 7,663 1143,24 1143,24 8772,08052 8760,64812 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-25 7,588 7,578 1131,9 1131,9 8588,8572 8577,5382 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-26 7,578 7,568 1153,55 1153,55 8741,6019 8730,0664 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-29 7,573 7,563 1141,66 1141,66 8645,79118 8634,37458 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-30 7,633 7,623 1148,93 1148,93 8769,78269 8758,29339 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-08-31 7,668 7,658 1147,58 1147,58 8799,64344 8788,16764 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-01 7,568 7,558 1173,85 1173,85 8883,6968 8871,9583 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-02 7,435 7,425 1187,57 1187,57 8829,58295 8817,70725 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-05 7,41 7,4 1204,97 1204,97 8928,8277 8916,778 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-06 7,485 7,475 1207,05 1207,05 9034,76925 9022,69875 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-07 7,43 7,42 1227,53 1227,53 9120,5479 9108,2726 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-08 7,498 7,488 1231,58 1231,58 9234,38684 9222,07104 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-09 7,523 7,513 1228,04 1228,04 9238,54492 9226,26452 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-12 7,555 7,545 1243,33 1243,33 9393,35815 9380,92485 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-13 7,57 7,56 1237,42 1237,42 9367,2694 9354,8952 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-14 7,61 7,6 1221,24 1221,24 9293,6364 9281,424 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-15 7,658 7,648 1229,79 1229,79 9417,73182 9405,43392 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-16 7,613 7,603 1250,43 1250,43 9519,52359 9507,01929 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-19 7,698 7,688 1267,78 1267,78 9759,37044 9746,69264 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-20 7,688 7,678 1276,6 1276,6 9814,5008 9801,7348 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-21 7,663 7,653 1277,43 1277,43 9788,94609 9776,17179 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-22 7,648 7,638 1308,85 1308,85 10010,0848 9996,9963 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-23 7,733 7,723 1300,3 1300,3 10055,2199 10042,2169 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-26 7,798 7,788 1311,73 1311,73 10228,87054 10215,75324 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-27 7,825 7,815 1317,79 1317,79 10311,70675 10298,52885 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-28 7,81 7,8 1310,64 1310,64 10236,0984 10222,992 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-29 7,785 7,775 1329,73 1329,73 10351,94805 10338,65075 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-09-30 7,785 7,775 1340,49 1340,49 10435,71465 10422,30975 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-03 7,783 7,773 1349,14 1349,14 10500,35662 10486,86522 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-04 7,82 7,81 1366,02 1366,02 10682,2764 10668,6162 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-05 7,795 7,785 1341,5 1341,5 10456,9925 10443,5775 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-06 7,713 7,703 1297,36 1297,36 10006,53768 9993,56408 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-07 7,683 7,673 1248,24 1248,24 9590,22792 9577,74552 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-10 7,698 7,688 1284,07 1284,07 9884,77086 9871,93016 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-11 7,77 7,76 1286,44 1286,44 9995,6388 9982,7744 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-12 7,805 7,795 1298,72 1298,72 10136,5096 10123,5224 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-13 7,83 7,82 1264,48 1264,48 9900,8784 9888,2336 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-14 7,833 7,823 1248,04 1248,04 9775,89732 9763,41692 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-17 7,835 7,825 1246 1246 9762,41 9749,95 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-18 7,893 7,883 1271,94 1271,94 10039,42242 10026,70302 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-19 7,96 7,95 1246,4 1246,4 9921,344 9908,88 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-20 7,93 7,92 1255,89 1255,89 9959,2077 9946,6488 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-21 7,883 7,873 1217,94 1217,94 9601,02102 9588,84162 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-24 7,995 7,985 1236,74 1236,74 9887,7363 9875,3689 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-25 7,99 7,98 1263,16 1263,16 10092,6484 10080,0168 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-26 7,868 7,858 1253,37 1253,37 9861,51516 9848,98146 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-27 7,868 7,858 1259,96 1259,96 9913,36528 9900,76568 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-28 7,825 7,815 1235,1 1235,1 9664,6575 9652,3065 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-10-31 7,905 7,895 1259,29 1259,29 9954,68745 9942,09455 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-02 7,98 7,97 1315,08 1315,08 10494,3384 10481,1876 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-03 8,01 8 1322,66 1322,66 10594,5066 10581,28 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-04 8,028 8,018 1330,14 1330,14 10678,36392 10665,06252 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-07 8,135 8,125 1326,6 1326,6 10791,891 10778,625 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-08 8,17 8,16 1331,13 1331,13 10875,3321 10862,0208 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-09 8,12 8,11 1338,58 1338,58 10869,2696 10855,8838 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-10 8,173 8,163 1341,77 1341,77 10966,28621 10952,86851 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-11 8,235 8,225 1343,13 1343,13 11060,67555 11047,24425 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-14 8,133 8,123 1344 1344 10930,752 10917,312 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-15 8,185 8,175 1335,89 1335,89 10934,25965 10920,90075 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-16 8,21 8,2 1332,41 1332,41 10939,0861 10925,762 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-17 8,258 8,248 1348,95 1348,95 11139,6291 11126,1396 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-18 8,223 8,213 1372,84 1372,84 11288,86332 11275,13492 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-21 8,123 8,113 1365,31 1365,31 11090,41313 11076,76003 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-22 8,15 8,14 1376,63 1376,63 11219,5345 11205,7682 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-23 8,048 8,038 1379,65 1379,65 11103,4232 11089,6267 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-24 8,053 8,043 1388,41 1388,41 11180,86573 11166,98163 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-25 8,078 8,068 1392,32 1392,32 11247,16096 11233,23776 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-28 8,118 8,108 1403,96 1403,96 11397,34728 11383,30768 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-29 8,015 8,005 1392,58 1392,58 11161,5287 11147,6029 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-11-30 8,088 8,078 1397,21 1397,21 11300,63448 11286,66238 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-01 8,083 8,073 1400,05 1400,05 11316,60415 11302,60365 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-02 8,103 8,093 1430,8 1430,8 11593,7724 11579,4644 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-05 8,045 8,035 1447,18 1447,18 11642,5631 11628,0913 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-06 7,993 7,983 1447,21 1447,21 11567,54953 11553,07743 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-07 8,015 8,005 1470,06 1470,06 11782,5309 11767,8303 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-08 7,988 7,978 1440,33 1440,33 11505,35604 11490,95274 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-12 7,953 7,943 1415,02 1415,02 11253,65406 11239,50386 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-13 7,905 7,895 1414,83 1414,83 11184,23115 11170,08285 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-14 7,848 7,838 1422,2 1422,2 11161,4256 11147,2036 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-15 7,858 7,848 1421,35 1421,35 11168,9683 11154,7548 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-16 7,903 7,893 1406,8 1406,8 11117,9404 11103,8724 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-19 7,865 7,855 1399,55 1399,55 11007,46075 10993,46525 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-20 7,848 7,838 1375,06 1375,06 10791,47088 10777,72028 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-21 7,948 7,938 1388,53 1388,53 11036,03644 11022,15114 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-22 7,98 7,97 1418,1 1418,1 11316,438 11302,257 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-23 7,955 7,945 1411,31 1411,31 11226,97105 11212,85795 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-27 8,01 8 1411,61 1411,61 11306,9961 11292,88 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-28 7,915 7,905 1400,89 1400,89 11088,04435 11074,03545 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-29 7,938 7,928 1396,5 1396,5 11085,417 11071,452 956268 ING Investment Management Belgium S.A. ING (L) Invest Latin America USD 2005-12-30 7,958 7,948 1413,33 1413,33 11247,28014 11233,14684 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-03 6,668 6,658 536,88 536,88 3579,91584 3574,54704 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-04 6,728 6,718 537,58 537,58 3616,83824 3611,46244 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-05 6,828 6,818 533,51 533,51 3642,80628 3637,47118 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-07 6,87 6,86 519,62 519,62 3569,7894 3564,5932 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-10 6,96091 6,95091 519,42 519,42 3615,6358722 3610,4416722 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-11 6,96091 6,95091 518,57 518,57 3609,7190987 3604,5333987 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-12 6,913 6,903 520,43 520,43 3597,73259 3592,52829 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-13 6,843 6,833 519,79 519,79 3556,92297 3551,72507 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-14 6,915 6,905 523,68 523,68 3621,2472 3616,0104 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-17 6,915 6,905 524,07 524,07 3623,94405 3618,70335 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-18 6,968 6,958 530,16 530,16 3694,15488 3688,85328 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-19 6,91 6,9 530,82 530,82 3667,9662 3662,658 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-20 6,96 6,95 530,12 530,12 3689,6352 3684,334 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-21 6,978 6,968 525,56 525,56 3667,35768 3662,10208 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-24 6,933 6,923 524,09 524,09 3633,51597 3628,27507 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-25 6,95 6,94 523,32 523,32 3637,074 3631,8408 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-26 6,995 6,985 524,19 524,19 3666,70905 3661,46715 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-27 6,93 6,92 528,78 528,78 3664,4454 3659,1576 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-28 6,985 6,975 529,69 529,69 3699,88465 3694,58775 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-01-31 6,998 6,988 531,8 531,8 3721,5364 3716,2184 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-01 6,993 6,983 535,73 535,73 3746,35989 3741,00259 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-02 6,953 6,943 533,24 533,24 3707,61772 3702,28532 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-03 6,968 6,958 534,46 534,46 3724,11728 3718,77268 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-04 7,01 7 536,39 536,39 3760,0939 3754,73 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-07 7,065 7,055 536,84 536,84 3792,7746 3787,4062 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-08 7,123 7,113 542,37 542,37 3863,30151 3857,87781 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-09 7,1 7,09 541,16 541,16 3842,236 3836,8244 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-10 7,088 7,078 541,83 541,83 3840,49104 3835,07274 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-11 7,068 7,058 541,03 541,03 3824,00004 3818,58974 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-14 7,03 7,02 542,68 542,68 3815,0404 3809,6136 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-15 7,005 6,995 549,78 549,78 3851,2089 3845,7111 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-16 6,973 6,963 550,2 550,2 3836,5446 3831,0426 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-17 6,97 6,96 549,13 549,13 3827,4361 3821,9448 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-18 6,965 6,955 546,43 546,43 3805,88495 3800,42065 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-21 6,978 6,968 551,03 551,03 3845,08734 3839,57704 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-22 6,905 6,895 551,44 551,44 3807,6932 3802,1788 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-23 6,895 6,885 552,97 552,97 3812,72815 3807,19845 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-24 6,858 6,848 550,14 550,14 3772,86012 3767,35872 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-25 6,885 6,875 554,61 554,61 3818,48985 3812,94375 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-02-28 6,828 6,818 557,49 557,49 3806,54172 3800,96682 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-01 6,87 6,86 561,54 561,54 3857,7798 3852,1644 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-02 6,888 6,878 562,43 562,43 3874,01784 3868,39354 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-03 6,903 6,893 557,98 557,98 3851,73594 3846,15614 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-04 6,9 6,89 559,56 559,56 3860,964 3855,3684 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-07 6,84 6,83 557,67 557,67 3814,4628 3808,8861 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-08 6,825 6,815 560,44 560,44 3825,003 3819,3986 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-09 6,76 6,75 559,71 559,71 3783,6396 3778,0425 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-10 6,745 6,735 562,06 562,06 3791,0947 3785,4741 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-11 6,765 6,755 559,36 559,36 3784,0704 3778,4768 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-14 6,76 6,75 564,41 564,41 3815,4116 3809,7675 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-15 6,815 6,805 560,87 560,87 3822,32905 3816,72035 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-16 6,81 6,8 553,63 553,63 3770,2203 3764,684 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-17 6,795 6,785 556,03 556,03 3778,22385 3772,66355 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-18 6,828 6,818 553,83 553,83 3781,55124 3776,01294 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-21 6,908 6,898 553,06 553,06 3820,53848 3815,00788 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-22 6,928 6,918 552,15 552,15 3825,2952 3819,7737 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-23 6,973 6,963 547,84 547,84 3820,08832 3814,60992 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-24 7,008 6,998 542,41 542,41 3801,20928 3795,78518 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-29 7,055 7,045 541,14 541,14 3817,7427 3812,3313 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-30 7,053 7,043 533,97 533,97 3766,09041 3760,75071 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-03-31 7,065 7,055 531,99 531,99 3758,50935 3753,18945 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-01 7,07 7,06 537,54 537,54 3800,4078 3795,0324 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-04 7,113 7,103 543,17 543,17 3863,56821 3858,13651 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-05 7,163 7,153 541,55 541,55 3879,12265 3873,70715 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-06 7,125 7,115 541,6 541,6 3858,9 3853,484 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-07 7,083 7,073 543,35 543,35 3848,54805 3843,11455 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-08 7,153 7,143 544,24 544,24 3892,94872 3887,50632 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-11 7,098 7,088 546,51 546,51 3879,12798 3873,66288 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-12 7,048 7,038 544,76 544,76 3839,46848 3834,02088 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-13 7,075 7,065 544,37 544,37 3851,41775 3845,97405 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-14 7,12 7,11 546,98 546,98 3894,4976 3889,0278 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-15 7,17 7,16 539,59 539,59 3868,8603 3863,4644 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-18 7,08 7,07 533,05 533,05 3773,994 3768,6635 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-19 7,068 7,058 522,9 522,9 3695,8572 3690,6282 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-20 7,043 7,033 525,47 525,47 3700,88521 3695,63051 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-21 7,025 7,015 527,91 527,91 3708,56775 3703,28865 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-22 7,023 7,013 528,99 528,99 3715,09677 3709,80687 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-25 7,04 7,03 532,64 532,64 3749,7856 3744,4592 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-26 7,035 7,025 534,47 534,47 3759,99645 3754,65175 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-27 7,085 7,075 536,27 536,27 3799,47295 3794,11025 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-28 7,085 7,075 533,44 533,44 3779,4224 3774,088 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-04-29 7,08 7,07 532,61 532,61 3770,8788 3765,5527 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-02 7,15 7,14 531,86 531,86 3802,799 3797,4804 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-03 7,178 7,168 531,24 531,24 3813,24072 3807,92832 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-04 7,11 7,1 531,71 531,71 3780,4581 3775,141 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-06 7,085 7,075 540,29 540,29 3827,95465 3822,55175 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-09 7,168 7,158 544,07 544,07 3899,89376 3894,45306 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-10 7,178 7,168 544,64 544,64 3909,42592 3903,97952 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-11 7,15 7,14 544,25 544,25 3891,3875 3885,945 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-12 7,243 7,233 540,89 540,89 3917,66627 3912,25737 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-13 7,265 7,255 540,98 540,98 3930,2197 3924,8099 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-17 7,313 7,303 539,16 539,16 3942,87708 3937,48548 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-18 7,3 7,29 536,67 536,67 3917,691 3912,3243 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-19 7,26 7,25 536,83 536,83 3897,3858 3892,0175 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-20 7,28 7,27 541,86 541,86 3944,7408 3939,3222 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-23 7,32 7,31 542,51 542,51 3971,1732 3965,7481 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-24 7,295 7,285 540,85 540,85 3945,50075 3940,09225 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-25 7,298 7,288 542,98 542,98 3962,66804 3957,23824 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-26 7,33 7,32 538,38 538,38 3946,3254 3940,9416 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-27 7,338 7,328 537,98 537,98 3947,69724 3942,31744 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-30 7,338 7,328 543,42 543,42 3987,61596 3982,18176 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-05-31 7,403 7,393 545,88 545,88 4041,14964 4035,69084 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-01 7,428 7,418 543,73 543,73 4038,82644 4033,38914 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-02 7,473 7,463 542,77 542,77 4056,12021 4050,69251 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-03 7,438 7,428 543,8 543,8 4044,7844 4039,3464 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-07 7,448 7,438 549,57 549,57 4093,19736 4087,70166 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-08 7,435 7,425 548,33 548,33 4076,83355 4071,35025 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-09 7,523 7,513 550,33 550,33 4140,13259 4134,62929 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-10 7,525 7,515 550,82 550,82 4144,9205 4139,4123 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-13 7,643 7,633 552,41 552,41 4222,06963 4216,54553 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-14 7,663 7,653 553,21 553,21 4239,24823 4233,71613 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-15 7,693 7,683 552,64 552,64 4251,45952 4245,93312 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-16 7,678 7,668 555,57 555,57 4265,66646 4260,11076 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-17 7,643 7,633 555,69 555,69 4247,13867 4241,58177 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-20 7,543 7,533 557,7 557,7 4206,7311 4201,1541 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-21 7,648 7,638 557,72 557,72 4265,44256 4259,86536 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-22 7,608 7,598 556,68 556,68 4235,22144 4229,65464 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-27 7,73 7,72 562,61 562,61 4348,9753 4343,3492 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-28 7,76 7,75 559,14 559,14 4338,9264 4333,335 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-29 7,833 7,823 558,82 558,82 4377,23706 4371,64886 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-06-30 7,823 7,813 554,93 554,93 4341,21739 4335,66809 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-01 7,858 7,848 554,9 554,9 4360,4042 4354,8552 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-04 7,945 7,935 557,55 557,55 4429,73475 4424,15925 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-05 7,963 7,953 556,59 556,59 4432,12617 4426,56027 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-06 7,895 7,885 553,72 553,72 4371,6194 4366,0822 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-07 7,878 7,868 555,02 555,02 4372,44756 4366,89736 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-08 7,913 7,903 553,49 553,49 4379,76637 4374,23147 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-11 7,89 7,88 551,12 551,12 4348,3368 4342,8256 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-12 7,77 7,76 560,62 560,62 4356,0174 4350,4112 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-13 7,703 7,693 564,4 564,4 4347,5732 4341,9292 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-14 7,76 7,75 568,09 568,09 4408,3784 4402,6975 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-15 7,76 7,75 573,25 573,25 4448,42 4442,6875 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-18 7,78 7,77 570,2 570,2 4436,156 4430,454 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-19 7,878 7,868 572,76 572,76 4512,20328 4506,47568 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-20 7,818 7,808 575,62 575,62 4500,19716 4494,44096 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-21 7,775 7,765 577,07 577,07 4486,71925 4480,94855 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-22 7,758 7,748 580,44 580,44 4503,05352 4497,24912 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-25 7,838 7,828 585,53 585,53 4589,38414 4583,52884 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-26 7,818 7,808 587,26 587,26 4591,19868 4585,32608 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-27 7,905 7,895 585,08 585,08 4625,0574 4619,2066 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-28 7,848 7,838 584 584 4583,232 4577,392 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-07-29 7,748 7,738 588,59 588,59 4560,39532 4554,50942 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-01 7,72 7,71 590,99 590,99 4562,4428 4556,5329 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-02 7,7 7,69 593,33 593,33 4568,641 4562,7077 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-03 7,685 7,675 599,48 599,48 4607,0038 4601,009 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-04 7,618 7,608 602,76 602,76 4591,82568 4585,79808 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-05 7,548 7,538 600,92 600,92 4535,74416 4529,73496 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-08 7,558 7,548 596,54 596,54 4508,64932 4502,68392 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-09 7,548 7,538 594,45 594,45 4486,9086 4480,9641 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-10 7,558 7,548 594,67 594,67 4494,51586 4488,56916 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-11 7,523 7,513 597,66 597,66 4496,19618 4490,21958 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-12 7,46 7,45 601,22 601,22 4485,1012 4479,089 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-16 7,523 7,513 601,22 601,22 4522,97806 4516,96586 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-17 7,605 7,595 594,74 594,74 4522,9977 4517,0503 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-18 7,61 7,6 593,34 593,34 4515,3174 4509,384 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-19 7,698 7,688 584,43 584,43 4498,94214 4493,09784 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-22 7,69 7,68 580,22 580,22 4461,8918 4456,0896 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-23 7,663 7,653 587,74 587,74 4503,85162 4497,97422 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-24 7,673 7,663 583,28 583,28 4475,50744 4469,67464 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-25 7,588 7,578 576,02 576,02 4370,83976 4365,07956 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-26 7,578 7,568 576,46 576,46 4368,41388 4362,64928 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-29 7,573 7,563 576,95 576,95 4369,24235 4363,47285 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-30 7,633 7,623 567,4 567,4 4330,9642 4325,2902 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-08-31 7,668 7,658 568,71 568,71 4360,86828 4355,18118 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-01 7,568 7,558 569,28 569,28 4308,31104 4302,61824 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-02 7,435 7,425 569,28 569,28 4232,5968 4226,904 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-05 7,41 7,4 584,1 584,1 4328,181 4322,34 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-06 7,485 7,475 584,3 584,3 4373,4855 4367,6425 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-07 7,43 7,42 585,59 585,59 4350,9337 4345,0778 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-08 7,498 7,488 589,11 589,11 4417,14678 4411,25568 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-09 7,523 7,513 589,24 589,24 4432,85252 4426,96012 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-12 7,555 7,545 590,92 590,92 4464,4006 4458,4914 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-13 7,57 7,56 594,93 594,93 4503,6201 4497,6708 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-14 7,61 7,6 594,49 594,49 4524,0689 4518,124 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-15 7,658 7,648 596,33 596,33 4566,69514 4560,73184 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-16 7,613 7,603 595,05 595,05 4530,11565 4524,16515 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-19 7,698 7,688 592,07 592,07 4557,75486 4551,83416 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-20 7,688 7,678 592 592 4551,296 4545,376 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-21 7,663 7,653 597,42 597,42 4578,02946 4572,05526 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-22 7,648 7,638 596,91 596,91 4565,16768 4559,19858 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-23 7,733 7,723 593,12 593,12 4586,59696 4580,66576 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-26 7,798 7,788 587,12 587,12 4578,36176 4572,49056 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-27 7,825 7,815 593,5 593,5 4644,1375 4638,2025 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-28 7,81 7,8 593,15 593,15 4632,5015 4626,57 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-29 7,785 7,775 595,6 595,6 4636,746 4630,79 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-09-30 7,785 7,775 601,54 601,54 4682,9889 4676,9735 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-03 7,783 7,773 603,24 603,24 4695,01692 4688,98452 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-04 7,82 7,81 602,13 602,13 4708,6566 4702,6353 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-05 7,795 7,785 607,16 607,16 4732,8122 4726,7406 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-06 7,713 7,703 602,78 602,78 4649,24214 4643,21434 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-07 7,683 7,673 592,13 592,13 4549,33479 4543,41349 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-10 7,698 7,688 592,13 592,13 4558,21674 4552,29544 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-11 7,77 7,76 596,81 596,81 4637,2137 4631,2456 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-12 7,805 7,795 597,5 597,5 4663,4875 4657,5125 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-13 7,83 7,82 586,68 586,68 4593,7044 4587,8376 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-14 7,833 7,823 579,09 579,09 4536,01197 4530,22107 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-17 7,835 7,825 576,45 576,45 4516,48575 4510,72125 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-18 7,893 7,883 572,04 572,04 4515,11172 4509,39132 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-19 7,96 7,95 573,16 573,16 4562,3536 4556,622 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-20 7,93 7,92 559,84 559,84 4439,5312 4433,9328 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-21 7,883 7,873 562,37 562,37 4433,16271 4427,53901 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-24 7,995 7,985 564,75 564,75 4515,17625 4509,52875 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-25 7,99 7,98 561,12 561,12 4483,3488 4477,7376 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-26 7,868 7,858 561,69 561,69 4419,37692 4413,76002 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-27 7,868 7,858 563,86 563,86 4436,45048 4430,81188 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-28 7,825 7,815 560,64 560,64 4387,008 4381,4016 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-10-31 7,905 7,895 554,37 554,37 4382,29485 4376,75115 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-02 7,98 7,97 554,37 554,37 4423,8726 4418,3289 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-03 8,01 8 579,56 579,56 4642,2756 4636,48 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-04 8,028 8,018 580,23 580,23 4658,08644 4652,28414 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-07 8,135 8,125 580,82 580,82 4724,9707 4719,1625 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-08 8,17 8,16 575,92 575,92 4705,2664 4699,5072 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-09 8,12 8,11 577,15 577,15 4686,458 4680,6865 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-10 8,173 8,163 582,31 582,31 4759,21963 4753,39653 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-11 8,235 8,225 582,82 582,82 4799,5227 4793,6945 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-14 8,133 8,123 597,12 597,12 4856,37696 4850,40576 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-15 8,185 8,175 590,74 590,74 4835,2069 4829,2995 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-16 8,21 8,2 587,78 587,78 4825,6738 4819,796 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-17 8,258 8,248 589,63 589,63 4869,16454 4863,26824 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-18 8,223 8,213 591,46 591,46 4863,57558 4857,66098 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-21 8,123 8,113 596,88 596,88 4848,45624 4842,48744 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-22 8,15 8,14 595,09 595,09 4849,9835 4844,0326 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-23 8,048 8,038 587,85 587,85 4731,0168 4725,1383 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-24 8,053 8,043 599,71 599,71 4829,46463 4823,46753 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-25 8,078 8,068 601,61 601,61 4859,80558 4853,78948 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-28 8,118 8,108 601,64 601,64 4884,11352 4878,09712 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-29 8,015 8,005 605,58 605,58 4853,7237 4847,6679 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-11-30 8,088 8,078 601,24 601,24 4862,82912 4856,81672 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-01 8,083 8,073 605 605 4890,215 4884,165 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-02 8,103 8,093 606,11 606,11 4911,30933 4905,24823 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-05 8,045 8,035 610,77 610,77 4913,64465 4907,53695 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-06 7,993 7,983 615,59 615,59 4920,41087 4914,25497 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-07 8,015 8,005 616,79 616,79 4943,57185 4937,40395 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-08 7,988 7,978 620,9 620,9 4959,7492 4953,5402 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-12 7,953 7,943 615,59 615,59 4895,78727 4889,63137 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-13 7,905 7,895 619,16 619,16 4894,4598 4888,2682 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-14 7,848 7,838 621,56 621,56 4878,00288 4871,78728 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-15 7,858 7,848 622,04 622,04 4887,99032 4881,76992 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-16 7,903 7,893 624,11 624,11 4932,34133 4926,10023 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-19 7,865 7,855 623,6 623,6 4904,614 4898,378 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-20 7,848 7,838 632,22 632,22 4961,66256 4955,34036 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-21 7,948 7,938 631,43 631,43 5018,60564 5012,29134 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-22 7,98 7,97 635,52 635,52 5071,4496 5065,0944 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-23 7,955 7,945 633,63 633,63 5040,52665 5034,19035 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-27 8,01 8 639 639 5118,39 5112 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-28 7,915 7,905 641,92 641,92 5080,7968 5074,3776 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-29 7,938 7,928 640,26 640,26 5082,38388 5075,98128 992099 ING Investment Management Belgium S.A. ING (L) Invest New Asia USD 2005-12-30 7,958 7,948 644,21 644,21 5126,62318 5120,18108 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-03 9,0065 9,0015 126,25 126,25 1137,070625 1136,439375 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-04 9,0345 9,0295 126,77 126,77 1145,303565 1144,669715 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-05 9,0615 9,0565 126,95 126,95 1150,357425 1149,722675 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-07 9,0615 9,0565 127,38 127,38 1154,25387 1153,61697 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-10 9,08619 9,08119 128,27 128,27 1165,4855913 1164,8442413 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-11 9,08619 9,08119 128,14 128,14 1164,3043866 1163,6636866 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-12 9,0455 9,0405 127,33 127,33 1151,763515 1151,126865 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-13 9,0505 9,0455 126,52 126,52 1145,06926 1144,43666 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-14 9,0455 9,0405 126,73 126,73 1146,336215 1145,702565 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-17 9,0685 9,0635 128,11 128,11 1161,765535 1161,124985 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-18 9,0585 9,0535 128,6 128,6 1164,9231 1164,2801 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-19 9,0225 9,0175 129,46 129,46 1168,05285 1167,40555 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-20 9,0315 9,0265 128,66 128,66 1161,99279 1161,34949 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-21 9,0505 9,0455 128,08 128,08 1159,18804 1158,54764 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-24 9,0655 9,0605 127,38 127,38 1154,76339 1154,12649 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-25 9,0715 9,0665 127,05 127,05 1152,534075 1151,898825 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-26 9,0885 9,0835 127,98 127,98 1163,14623 1162,50633 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-27 9,0675 9,0625 127,92 127,92 1159,9146 1159,275 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-28 9,0955 9,0905 128,24 128,24 1166,40692 1165,76572 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-01-31 9,1075 9,1025 128,11 128,11 1166,761825 1166,121275 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-01 9,1035 9,0985 128,95 128,95 1173,896325 1173,251575 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-02 9,0905 9,0855 129,83 129,83 1180,219615 1179,570465 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-03 9,0695 9,0645 130,13 130,13 1180,214035 1179,563385 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-04 9,0895 9,0845 130,27 130,27 1184,089165 1183,437815 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-07 9,0755 9,0705 131,61 131,61 1194,426555 1193,768505 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-08 9,0895 9,0845 132,62 132,62 1205,44949 1204,78639 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-09 9,0695 9,0645 132,93 132,93 1205,608635 1204,943985 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-10 9,0805 9,0755 132,22 132,22 1200,62371 1199,96261 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-11 9,0935 9,0885 131,95 131,95 1199,887325 1199,227575 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-14 9,1105 9,1055 133,03 133,03 1211,969815 1211,304665 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-15 9,0765 9,0715 132,65 132,65 1203,997725 1203,334475 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-16 9,0705 9,0655 132,97 132,97 1206,104385 1205,439535 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-17 9,0925 9,0875 132,46 132,46 1204,39255 1203,73025 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-18 9,0945 9,0895 131,31 131,31 1194,198795 1193,542245 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-21 9,1185 9,1135 131,39 131,39 1198,079715 1197,422765 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-22 9,0975 9,0925 131,2 131,2 1193,592 1192,936 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-23 9,1045 9,0995 129,2 129,2 1176,3014 1175,6554 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-24 9,0715 9,0665 129,26 129,26 1172,58209 1171,93579 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-25 9,0845 9,0795 129,79 129,79 1179,077255 1178,428305 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-02-28 9,0505 9,0455 131,17 131,17 1187,154085 1186,498235 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-01 9,0565 9,0515 130,57 130,57 1182,507205 1181,854355 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-02 9,0645 9,0595 131,73 131,73 1194,066585 1193,407935 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-03 9,0675 9,0625 132,08 132,08 1197,6354 1196,975 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-04 9,0415 9,0365 132,15 132,15 1194,834225 1194,173475 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-07 9,0425 9,0375 132,51 132,51 1198,221675 1197,559125 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-08 9,0345 9,0295 132,93 132,93 1200,956085 1200,291435 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-09 9,0365 9,0315 131,4 131,4 1187,3961 1186,7391 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-10 9,0655 9,0605 130,47 130,47 1182,775785 1182,123435 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-11 9,0795 9,0745 129,7 129,7 1177,61115 1176,96265 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-14 9,0695 9,0645 129,2 129,2 1171,7794 1171,1334 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-15 9,1035 9,0985 129,69 129,69 1180,632915 1179,984465 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-16 9,0975 9,0925 129,86 129,86 1181,40135 1180,75205 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-17 9,1045 9,0995 128,18 128,18 1167,01481 1166,37391 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-18 9,1035 9,0985 128,59 128,59 1170,619065 1169,976115 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-21 9,1265 9,1215 129,12 129,12 1178,41368 1177,76808 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-22 9,1265 9,1215 129,17 129,17 1178,870005 1178,224155 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-23 9,1165 9,1115 128,38 128,38 1170,37627 1169,73437 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-24 9,1135 9,1085 129,08 129,08 1176,37058 1175,72518 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-29 9,1315 9,1265 130,52 130,52 1191,84338 1191,19078 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-30 9,1425 9,1375 129,33 129,33 1182,399525 1181,752875 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-03-31 9,1405 9,1355 129,59 129,59 1184,517395 1183,869445 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-01 9,1645 9,1595 129,73 129,73 1188,910585 1188,261935 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-04 9,1695 9,1645 129,86 129,86 1190,75127 1190,10197 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-05 9,1745 9,1695 130,46 130,46 1196,90527 1196,25297 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-06 9,1705 9,1655 131,07 131,07 1201,977435 1201,322085 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-07 9,1505 9,1455 131,35 131,35 1201,918175 1201,261425 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-08 9,1625 9,1575 131,65 131,65 1206,243125 1205,584875 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-11 9,1705 9,1655 131,54 131,54 1206,28757 1205,62987 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-12 9,1525 9,1475 130,5 130,5 1194,40125 1193,74875 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-13 9,1495 9,1445 131,09 131,09 1199,407955 1198,752505 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-14 9,1685 9,1635 130,45 130,45 1196,030825 1195,378575 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-15 9,1925 9,1875 129,92 129,92 1194,2896 1193,64 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-18 9,1805 9,1755 126,94 126,94 1165,37267 1164,73797 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-19 9,2035 9,1985 125,53 125,53 1155,315355 1154,687705 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-20 9,1915 9,1865 126,34 126,34 1161,25411 1160,62241 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-21 9,1855 9,1805 125,28 125,28 1150,75944 1150,13304 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-22 9,1625 9,1575 126,15 126,15 1155,849375 1155,218625 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-25 9,1685 9,1635 126,45 126,45 1159,356825 1158,724575 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-26 9,1375 9,1325 127,84 127,84 1168,138 1167,4988 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-27 9,1465 9,1415 127,01 127,01 1161,696965 1161,061915 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-28 9,1505 9,1455 126,54 126,54 1157,90427 1157,27157 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-04-29 9,1705 9,1655 125,96 125,96 1155,11618 1154,48638 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-02 9,1935 9,1885 126,91 126,91 1166,747085 1166,112535 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-03 9,2245 9,2195 127,84 127,84 1179,26008 1178,62088 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-04 9,1915 9,1865 127,6 127,6 1172,8354 1172,1974 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-06 9,1715 9,1665 128,78 128,78 1181,10577 1180,46187 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-09 9,1815 9,1765 129,81 129,81 1191,850515 1191,201465 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-10 9,1985 9,1935 130,03 130,03 1196,080955 1195,430805 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-11 9,2105 9,2055 128,6 128,6 1184,4703 1183,8273 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-12 9,2315 9,2265 129,12 129,12 1191,97128 1191,32568 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-13 9,2045 9,1995 129,15 129,15 1188,761175 1188,115425 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-17 9,2325 9,2275 129,69 129,69 1197,362925 1196,714475 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-18 9,2095 9,2045 129,92 129,92 1196,49824 1195,84864 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-19 9,1905 9,1855 131,32 131,32 1206,89646 1206,23986 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-20 9,1955 9,1905 132,19 132,19 1215,553145 1214,892195 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-23 9,1805 9,1755 132,53 132,53 1216,691665 1216,029015 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-24 9,1815 9,1765 132,82 132,82 1219,48683 1218,82273 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-25 9,1785 9,1735 132,78 132,78 1218,72123 1218,05733 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-26 9,1945 9,1895 132,31 132,31 1216,524295 1215,862745 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-27 9,1955 9,1905 133,56 133,56 1228,15098 1227,48318 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-30 9,1905 9,1855 133,58 133,58 1227,66699 1226,99909 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-05-31 9,1665 9,1615 134,48 134,48 1232,71092 1232,03852 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-01 9,1455 9,1405 134,82 134,82 1232,99631 1232,32221 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-02 9,1565 9,1515 136,71 136,71 1251,785115 1251,101565 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-03 9,1315 9,1265 136,82 136,82 1249,37183 1248,68773 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-07 9,1455 9,1405 136,26 136,26 1246,16583 1245,48453 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-08 9,1455 9,1405 136,88 136,88 1251,83604 1251,15164 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-09 9,1965 9,1915 136,33 136,33 1253,758845 1253,077195 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-10 9,1975 9,1925 137,43 137,43 1264,012425 1263,325275 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-13 9,2365 9,2315 138,13 138,13 1275,837745 1275,147095 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-14 9,2985 9,2935 139,02 139,02 1292,67747 1291,98237 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-15 9,2695 9,2645 139,35 139,35 1291,704825 1291,008075 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-16 9,2695 9,2645 138,96 138,96 1288,08972 1287,39492 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-17 9,2695 9,2645 139,76 139,76 1295,50532 1294,80652 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-20 9,2255 9,2205 139,25 139,25 1284,650875 1283,954625 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-21 9,2725 9,2675 139,76 139,76 1295,9246 1295,2258 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-22 9,2615 9,2565 139,86 139,86 1295,31339 1294,61409 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-27 9,3855 9,3805 138,71 138,71 1301,862705 1301,169155 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-28 9,3995 9,3945 137,68 137,68 1294,12316 1293,43476 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-29 9,4215 9,4165 139,31 139,31 1312,509165 1311,812615 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-06-30 9,4415 9,4365 139,57 139,57 1317,750155 1317,052305 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-01 9,4595 9,4545 138,61 138,61 1311,181295 1310,488245 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-04 9,4795 9,4745 140,28 140,28 1329,78426 1329,08286 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-05 9,4575 9,4525 140,88 140,88 1332,3726 1331,6682 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-06 9,4195 9,4145 141,37 141,37 1331,634715 1330,927865 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-07 9,3965 9,3915 140,82 140,82 1323,21513 1322,51103 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-08 9,4175 9,4125 139,94 139,94 1317,88495 1317,18525 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-11 9,4665 9,4615 141,72 141,72 1341,59238 1340,88378 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-12 9,4645 9,4595 141,47 141,47 1338,942815 1338,235465 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-13 9,3915 9,3865 140,74 140,74 1321,75971 1321,05601 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-14 9,3675 9,3625 141,79 141,79 1328,217825 1327,508875 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-15 9,4055 9,4005 142,1 142,1 1336,52155 1335,81105 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-18 9,3895 9,3845 142,49 142,49 1337,909855 1337,197405 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-19 9,4425 9,4375 141,83 141,83 1339,229775 1338,520625 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-20 9,4265 9,4215 142,9 142,9 1347,04685 1346,33235 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-21 9,4625 9,4575 142,8 142,8 1351,245 1350,531 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-22 9,4495 9,4445 141,95 141,95 1341,356525 1340,646775 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-25 9,4275 9,4225 142,35 142,35 1342,004625 1341,292875 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-26 9,4155 9,4105 142,55 142,55 1342,179525 1341,466775 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-27 9,4725 9,4675 142,96 142,96 1354,1886 1353,4738 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-28 9,4515 9,4465 143,45 143,45 1355,817675 1355,100425 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-07-29 9,3885 9,3835 143,89 143,89 1350,911265 1350,191815 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-01 9,3985 9,3935 143,03 143,03 1344,267455 1343,552305 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-02 9,3995 9,3945 142,89 142,89 1343,094555 1342,380105 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-03 9,3755 9,3705 144,01 144,01 1350,165755 1349,445705 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-04 9,3735 9,3685 143,24 143,24 1342,66014 1341,94394 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-05 9,3355 9,3305 141,86 141,86 1324,33403 1323,62473 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-08 9,3335 9,3285 141,17 141,17 1317,610195 1316,904345 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-09 9,3455 9,3405 141,22 141,22 1319,77151 1319,06541 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-10 9,3535 9,3485 142,24 142,24 1330,44184 1329,73064 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-11 9,3365 9,3315 142,85 142,85 1333,719025 1333,004775 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-12 9,3025 9,2975 142,83 142,83 1328,676075 1327,961925 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-16 9,2995 9,2945 142,83 142,83 1328,247585 1327,533435 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-17 9,3405 9,3355 142,42 142,42 1330,27401 1329,56191 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-18 9,3365 9,3315 142,35 142,35 1329,050775 1328,339025 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-19 9,3395 9,3345 142,94 142,94 1334,98813 1334,27343 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-22 9,3655 9,3605 143,68 143,68 1345,63504 1344,91664 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-23 9,3715 9,3665 143,6 143,6 1345,7474 1345,0294 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-24 9,3365 9,3315 143,05 143,05 1335,586325 1334,871075 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-25 9,3335 9,3285 142,04 142,04 1325,73034 1325,02014 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-26 9,3415 9,3365 141,49 141,49 1321,728835 1321,021385 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-29 9,3295 9,3245 140,4 140,4 1309,8618 1309,1598 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-30 9,3285 9,3235 141,22 141,22 1317,37077 1316,66467 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-08-31 9,3585 9,3535 141,85 141,85 1327,503225 1326,793975 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-01 9,3365 9,3315 142,32 142,32 1328,77068 1328,05908 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-02 9,3025 9,2975 142,32 142,32 1323,9318 1323,2202 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-05 9,2845 9,2795 141,21 141,21 1311,064245 1310,358195 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-06 9,3225 9,3175 141,81 141,81 1322,023725 1321,314675 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-07 9,3075 9,3025 143,37 143,37 1334,416275 1333,699425 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-08 9,3255 9,3205 143,92 143,92 1342,12596 1341,40636 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-09 9,3445 9,3395 143,76 143,76 1343,36532 1342,64652 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-12 9,3015 9,2965 144,78 144,78 1346,67117 1345,94727 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-13 9,3015 9,2965 146,06 146,06 1358,57709 1357,84679 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-14 9,3365 9,3315 145,01 145,01 1353,885865 1353,160815 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-15 9,3425 9,3375 144,94 144,94 1354,10195 1353,37725 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-16 9,3465 9,3415 145,81 145,81 1362,813165 1362,084115 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-19 9,3355 9,3305 146,59 146,59 1368,490945 1367,757995 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-20 9,3395 9,3345 147,07 147,07 1373,560265 1372,824915 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-21 9,3405 9,3355 146,51 146,51 1368,476655 1367,744105 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-22 9,3405 9,3355 145,27 145,27 1356,894435 1356,168085 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-23 9,3695 9,3645 145,9 145,9 1367,01005 1366,28055 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-26 9,3815 9,3765 146,53 146,53 1374,671195 1373,938545 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-27 9,3885 9,3835 148,03 148,03 1389,779655 1389,039505 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-28 9,3935 9,3885 147,8 147,8 1388,3593 1387,6203 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-29 9,3845 9,3795 148,87 148,87 1397,070515 1396,326165 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-09-30 9,3435 9,3385 149,35 149,35 1395,451725 1394,704975 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-03 9,3025 9,2975 149,14 149,14 1387,37485 1386,62915 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-04 9,3185 9,3135 150,39 150,39 1401,409215 1400,657265 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-05 9,3105 9,3055 149,54 149,54 1392,29217 1391,54447 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-06 9,3015 9,2965 147,4 147,4 1371,0411 1370,3041 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-07 9,3385 9,3335 144,16 144,16 1346,23816 1345,51736 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-10 9,3465 9,3415 144,41 144,41 1349,728065 1349,006015 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-11 9,3395 9,3345 144,66 144,66 1351,05207 1350,32877 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-12 9,3375 9,3325 145,67 145,67 1360,193625 1359,465275 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-13 9,3815 9,3765 144,34 144,34 1354,12571 1353,40401 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-14 9,4135 9,4085 144,09 144,09 1356,391215 1355,670765 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-17 9,4575 9,4525 143,62 143,62 1358,28615 1357,56805 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-18 9,4625 9,4575 144,11 144,11 1363,640875 1362,920325 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-19 9,4605 9,4555 143,54 143,54 1357,96017 1357,24247 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-20 9,4935 9,4885 143,23 143,23 1359,754005 1359,037855 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-21 9,4915 9,4865 142,19 142,19 1349,596385 1348,885435 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-24 9,5455 9,5405 142,24 142,24 1357,75192 1357,04072 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-25 9,5465 9,5415 144,24 144,24 1376,98716 1376,26596 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-26 9,4975 9,4925 143,39 143,39 1361,846525 1361,129575 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-27 9,5355 9,5305 143,3 143,3 1366,43715 1365,72065 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-28 9,5135 9,5085 141,43 141,43 1345,494305 1344,787155 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-10-31 9,5495 9,5445 142,77 142,77 1363,382115 1362,668265 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-02 9,5855 9,5805 142,77 142,77 1368,521835 1367,807985 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-03 9,6515 9,6465 146,14 146,14 1410,47021 1409,73951 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-04 9,5875 9,5825 147,92 147,92 1418,183 1417,4434 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-07 9,6075 9,6025 149,69 149,69 1438,146675 1437,398225 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-08 9,5685 9,5635 150,25 150,25 1437,667125 1436,915875 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-09 9,5575 9,5525 150,47 150,47 1438,117025 1437,364675 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-10 9,6105 9,6055 150,42 150,42 1445,61141 1444,85931 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-11 9,6365 9,6315 150,49 150,49 1450,196885 1449,444435 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-14 9,5505 9,5455 151,76 151,76 1449,38388 1448,62508 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-15 9,5805 9,5755 151,49 151,49 1451,349945 1450,592495 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-16 9,6235 9,6185 151,07 151,07 1453,822145 1453,066795 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-17 9,6355 9,6305 151,29 151,29 1457,754795 1456,998345 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-18 9,6085 9,6035 152,17 152,17 1462,125445 1461,364595 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-21 9,5915 9,5865 153,05 153,05 1467,979075 1467,213825 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-22 9,5585 9,5535 153,38 153,38 1466,08273 1465,31583 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-23 9,5155 9,5105 153,75 153,75 1463,008125 1462,239375 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-24 9,5125 9,5075 153,86 153,86 1463,59325 1462,82395 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-25 9,4965 9,4915 153,75 153,75 1460,086875 1459,318125 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-28 9,4835 9,4785 154,58 154,58 1465,95943 1465,18653 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-29 9,4785 9,4735 153,02 153,02 1450,40007 1449,63497 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-11-30 9,5295 9,5245 153,36 153,36 1461,44412 1460,67732 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-01 9,5165 9,5115 152,28 152,28 1449,17262 1448,41122 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-02 9,4905 9,4855 155,12 155,12 1472,16636 1471,39076 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-05 9,4065 9,4015 155,92 155,92 1466,66148 1465,88188 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-06 9,4185 9,4135 155,01 155,01 1459,961685 1459,186635 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-07 9,4255 9,4205 155,44 155,44 1465,09972 1464,32252 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-08 9,3965 9,3915 155,74 155,74 1463,41091 1462,63221 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-12 9,4315 9,4265 154,83 154,83 1460,279145 1459,504995 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-13 9,4295 9,4245 154,5 154,5 1456,85775 1456,08525 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-14 9,4365 9,4315 155,12 155,12 1463,78988 1463,01428 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-15 9,4345 9,4295 154,64 154,64 1458,95108 1458,17788 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-16 9,4765 9,4715 154,95 154,95 1468,383675 1467,608925 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-19 9,4535 9,4485 154,59 154,59 1461,416565 1460,643615 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-20 9,4015 9,3965 154,29 154,29 1450,557435 1449,785985 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-21 9,4485 9,4435 155,66 155,66 1470,75351 1469,97521 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-22 9,4365 9,4315 157,06 157,06 1482,09669 1481,31139 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-23 9,4425 9,4375 156,9 156,9 1481,52825 1480,74375 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-27 9,4915 9,4865 157,17 157,17 1491,779055 1490,993205 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-28 9,4345 9,4295 156,32 156,32 1474,80104 1474,01944 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-29 9,4115 9,4065 156,16 156,16 1469,69984 1468,91904 526897 ING Investment Management Belgium S.A. ING (L) Invest World EUR 2005-12-30 9,4325 9,4275 156,78 156,78 1478,82735 1478,04345 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-03 9,0065 9,0015 132,32 132,32 1191,74008 1191,07848 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-04 9,0345 9,0295 132,61 132,61 1198,065045 1197,401995 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-05 9,0615 9,0565 132,61 132,61 1201,645515 1200,982465 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-07 9,0615 9,0565 132,89 132,89 1204,182735 1203,518285 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-10 9,08619 9,08119 133,15 133,15 1209,8261985 1209,1604485 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-11 9,08619 9,08119 133,24 133,24 1210,6439556 1209,9777556 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-12 9,0455 9,0405 133,21 133,21 1204,951055 1204,285005 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-13 9,0505 9,0455 133,1 133,1 1204,62155 1203,95605 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-14 9,0455 9,0405 133,39 133,39 1206,579245 1205,912295 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-17 9,0685 9,0635 133,49 133,49 1210,554065 1209,886615 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-18 9,0585 9,0535 133,61 133,61 1210,306185 1209,638135 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-19 9,0225 9,0175 133,75 133,75 1206,759375 1206,090625 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-20 9,0315 9,0265 134,06 134,06 1210,76289 1210,09259 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-21 9,0505 9,0455 133,64 133,64 1209,50882 1208,84062 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-24 9,0655 9,0605 133,6 133,6 1211,1508 1210,4828 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-25 9,0715 9,0665 133,81 133,81 1213,857415 1213,188365 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-26 9,0885 9,0835 133,89 133,89 1216,859265 1216,189815 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-27 9,0675 9,0625 133,81 133,81 1213,322175 1212,653125 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-28 9,0955 9,0905 133,67 133,67 1215,795485 1215,127135 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-01-31 9,1075 9,1025 133,92 133,92 1219,6764 1219,0068 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-01 9,1035 9,0985 134,01 134,01 1219,960035 1219,289985 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-02 9,0905 9,0855 134,13 134,13 1219,308765 1218,638115 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-03 9,0695 9,0645 134,14 134,14 1216,58273 1215,91203 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-04 9,0895 9,0845 134,17 134,17 1219,538215 1218,867365 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-07 9,0755 9,0705 134,69 134,69 1222,379095 1221,705645 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-08 9,0895 9,0845 135,08 135,08 1227,80966 1227,13426 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-09 9,0695 9,0645 135,12 135,12 1225,47084 1224,79524 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-10 9,0805 9,0755 135,34 135,34 1228,95487 1228,27817 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-11 9,0935 9,0885 135,3 135,3 1230,35055 1229,67405 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-14 9,1105 9,1055 135 135 1229,9175 1229,2425 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-15 9,0765 9,0715 134,81 134,81 1223,602965 1222,928915 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-16 9,0705 9,0655 134,75 134,75 1222,249875 1221,576125 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-17 9,0925 9,0875 134,42 134,42 1222,21385 1221,54175 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-18 9,0945 9,0895 134,23 134,23 1220,754735 1220,083585 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-21 9,1185 9,1135 133,68 133,68 1218,96108 1218,29268 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-22 9,0975 9,0925 133,48 133,48 1214,3343 1213,6669 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-23 9,1045 9,0995 133,4 133,4 1214,5403 1213,8733 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-24 9,0715 9,0665 133,38 133,38 1209,95667 1209,28977 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-25 9,0845 9,0795 133,2 133,2 1210,0554 1209,3894 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-02-28 9,0505 9,0455 133,44 133,44 1207,69872 1207,03152 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-01 9,0565 9,0515 133,52 133,52 1209,22388 1208,55628 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-02 9,0645 9,0595 133,35 133,35 1208,751075 1208,084325 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-03 9,0675 9,0625 133,35 133,35 1209,151125 1208,484375 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-04 9,0415 9,0365 133,05 133,05 1202,971575 1202,306325 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-07 9,0425 9,0375 133,5 133,5 1207,17375 1206,50625 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-08 9,0345 9,0295 133,76 133,76 1208,45472 1207,78592 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-09 9,0365 9,0315 133,45 133,45 1205,920925 1205,253675 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-10 9,0655 9,0605 133,02 133,02 1205,89281 1205,22771 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-11 9,0795 9,0745 132,8 132,8 1205,7576 1205,0936 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-14 9,0695 9,0645 132,83 132,83 1204,701685 1204,037535 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-15 9,1035 9,0985 132,79 132,79 1208,853765 1208,189815 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-16 9,0975 9,0925 133,32 133,32 1212,8787 1212,2121 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-17 9,1045 9,0995 133,45 133,45 1214,995525 1214,328275 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-18 9,1035 9,0985 133,4 133,4 1214,4069 1213,7399 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-21 9,1265 9,1215 133,3 133,3 1216,56245 1215,89595 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-22 9,1265 9,1215 133,12 133,12 1214,91968 1214,25408 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-23 9,1165 9,1115 133,42 133,42 1216,32343 1215,65633 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-24 9,1135 9,1085 133,1 133,1 1213,00685 1212,34135 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-29 9,1315 9,1265 133,38 133,38 1217,95947 1217,29257 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-30 9,1425 9,1375 133,45 133,45 1220,066625 1219,399375 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-03-31 9,1405 9,1355 133,74 133,74 1222,45047 1221,78177 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-01 9,1645 9,1595 134,1 134,1 1228,95945 1228,28895 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-04 9,1695 9,1645 134,13 134,13 1229,905035 1229,234385 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-05 9,1745 9,1695 134,37 134,37 1232,777565 1232,105715 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-06 9,1705 9,1655 134,29 134,29 1231,506445 1230,834995 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-07 9,1505 9,1455 134,26 134,26 1228,54613 1227,87483 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-08 9,1625 9,1575 134,39 134,39 1231,348375 1230,676425 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-11 9,1705 9,1655 134,18 134,18 1230,49769 1229,82679 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-12 9,1525 9,1475 134,41 134,41 1230,187525 1229,515475 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-13 9,1495 9,1445 134,53 134,53 1230,882235 1230,209585 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-14 9,1685 9,1635 134,72 134,72 1235,18032 1234,50672 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-15 9,1925 9,1875 134,68 134,68 1238,0459 1237,3725 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-18 9,1805 9,1755 134,86 134,86 1238,08223 1237,40793 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-19 9,2035 9,1985 135,05 135,05 1242,932675 1242,257425 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-20 9,1915 9,1865 135,3 135,3 1243,60995 1242,93345 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-21 9,1855 9,1805 135,24 135,24 1242,24702 1241,57082 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-22 9,1625 9,1575 135,03 135,03 1237,212375 1236,537225 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-25 9,1685 9,1635 135,18 135,18 1239,39783 1238,72193 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-26 9,1375 9,1325 135,48 135,48 1237,9485 1237,2711 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-27 9,1465 9,1415 135,47 135,47 1239,076355 1238,399005 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-28 9,1505 9,1455 135,68 135,68 1241,53984 1240,86144 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-04-29 9,1705 9,1655 135,87 135,87 1245,995835 1245,316485 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-02 9,1935 9,1885 135,94 135,94 1249,76439 1249,08469 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-03 9,2245 9,2195 135,9 135,9 1253,60955 1252,93005 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-04 9,1915 9,1865 135,99 135,99 1249,952085 1249,272135 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-06 9,1715 9,1665 135,89 135,89 1246,315135 1245,635685 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-09 9,1815 9,1765 135,59 135,59 1244,919585 1244,241635 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-10 9,1985 9,1935 135,77 135,77 1248,880345 1248,201495 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-11 9,2105 9,2055 136,15 136,15 1254,009575 1253,328825 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-12 9,2315 9,2265 136,54 136,54 1260,46901 1259,78631 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-13 9,2045 9,1995 136,5 136,5 1256,41425 1255,73175 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-17 9,2325 9,2275 136,59 136,59 1261,067175 1260,384225 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-18 9,2095 9,2045 136,68 136,68 1258,75446 1258,07106 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-19 9,1905 9,1855 136,85 136,85 1257,719925 1257,035675 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-20 9,1955 9,1905 136,8 136,8 1257,9444 1257,2604 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-23 9,1805 9,1755 136,6 136,6 1254,0563 1253,3733 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-24 9,1815 9,1765 136,89 136,89 1256,855535 1256,171085 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-25 9,1785 9,1735 137,18 137,18 1259,10663 1258,42073 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-26 9,1945 9,1895 137,1 137,1 1260,56595 1259,88045 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-27 9,1955 9,1905 136,94 136,94 1259,23177 1258,54707 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-30 9,1905 9,1855 136,72 136,72 1256,52516 1255,84156 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-05-31 9,1665 9,1615 136,78 136,78 1253,79387 1253,10997 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-01 9,1455 9,1405 137,54 137,54 1257,87207 1257,18437 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-02 9,1565 9,1515 137,9 137,9 1262,68135 1261,99185 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-03 9,1315 9,1265 138,1 138,1 1261,06015 1260,36965 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-07 9,1455 9,1405 138,31 138,31 1264,914105 1264,222555 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-08 9,1455 9,1405 138,94 138,94 1270,67577 1269,98107 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-09 9,1965 9,1915 139,23 139,23 1280,428695 1279,732545 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-10 9,1975 9,1925 139,15 139,15 1279,832125 1279,136375 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-13 9,2365 9,2315 139,06 139,06 1284,42769 1283,73239 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-14 9,2985 9,2935 138,7 138,7 1289,70195 1289,00845 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-15 9,2695 9,2645 138,58 138,58 1284,56731 1283,87441 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-16 9,2695 9,2645 137,78 137,78 1277,15171 1276,46281 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-17 9,2695 9,2645 137,76 137,76 1276,96632 1276,27752 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-20 9,2255 9,2205 137,8 137,8 1271,2739 1270,5849 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-21 9,2725 9,2675 137,92 137,92 1278,8632 1278,1736 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-22 9,2615 9,2565 138,62 138,62 1283,82913 1283,13603 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-27 9,3855 9,3805 139,35 139,35 1307,869425 1307,172675 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-28 9,3995 9,3945 139,51 139,51 1311,324245 1310,626695 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-29 9,4215 9,4165 139,14 139,14 1310,90751 1310,21181 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-06-30 9,4415 9,4365 138,87 138,87 1311,141105 1310,446755 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-01 9,4595 9,4545 139,11 139,11 1315,911045 1315,215495 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-04 9,4795 9,4745 138,92 138,92 1316,89214 1316,19754 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-05 9,4575 9,4525 138,8 138,8 1312,701 1312,007 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-06 9,4195 9,4145 138,42 138,42 1303,84719 1303,15509 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-07 9,3965 9,3915 138,33 138,33 1299,817845 1299,126195 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-08 9,4175 9,4125 138,48 138,48 1304,1354 1303,443 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-11 9,4665 9,4615 138,35 138,35 1309,690275 1308,998525 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-12 9,4645 9,4595 138,01 138,01 1306,195645 1305,505595 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-13 9,3915 9,3865 137,98 137,98 1295,83917 1295,14927 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-14 9,3675 9,3625 137,77 137,77 1290,560475 1289,871625 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-15 9,4055 9,4005 137,57 137,57 1293,914635 1293,226785 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-18 9,3895 9,3845 137,66 137,66 1292,55857 1291,87027 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-19 9,4425 9,4375 137,9 137,9 1302,12075 1301,43125 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-20 9,4265 9,4215 137,68 137,68 1297,84052 1297,15212 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-21 9,4625 9,4575 137,44 137,44 1300,526 1299,8388 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-22 9,4495 9,4445 137,5 137,5 1299,30625 1298,61875 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-25 9,4275 9,4225 137,89 137,89 1299,957975 1299,268525 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-26 9,4155 9,4105 138,13 138,13 1300,563015 1299,872365 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-27 9,4725 9,4675 137,99 137,99 1307,110275 1306,420325 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-28 9,4515 9,4465 138,11 138,11 1305,346665 1304,656115 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-07-29 9,3885 9,3835 138,11 138,11 1296,645735 1295,955185 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-01 9,3985 9,3935 138,04 138,04 1297,36894 1296,67874 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-02 9,3995 9,3945 137,71 137,71 1294,405145 1293,716595 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-03 9,3755 9,3705 137,58 137,58 1289,88129 1289,19339 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-04 9,3735 9,3685 137,54 137,54 1289,23119 1288,54349 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-05 9,3355 9,3305 137,59 137,59 1284,471445 1283,783495 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-08 9,3335 9,3285 137,22 137,22 1280,74287 1280,05677 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-09 9,3455 9,3405 137,43 137,43 1284,352065 1283,664915 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-10 9,3535 9,3485 137,4 137,4 1285,1709 1284,4839 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-11 9,3365 9,3315 137,62 137,62 1284,88913 1284,20103 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-12 9,3025 9,2975 137,74 137,74 1281,32635 1280,63765 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-16 9,2995 9,2945 137,74 137,74 1280,91313 1280,22443 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-17 9,3405 9,3355 138,61 138,61 1294,686705 1293,993655 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-18 9,3365 9,3315 138,71 138,71 1295,065915 1294,372365 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-19 9,3395 9,3345 139 139 1298,1905 1297,4955 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-22 9,3655 9,3605 138,92 138,92 1301,05526 1300,36066 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-23 9,3715 9,3665 138,97 138,97 1302,357355 1301,662505 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-24 9,3365 9,3315 139,15 139,15 1299,173975 1298,478225 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-25 9,3335 9,3285 139,12 139,12 1298,47652 1297,78092 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-26 9,3415 9,3365 139,27 139,27 1300,990705 1300,294355 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-29 9,3295 9,3245 139,24 139,24 1299,03958 1298,34338 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-30 9,3285 9,3235 139,28 139,28 1299,27348 1298,57708 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-08-31 9,3585 9,3535 139,32 139,32 1303,82622 1303,12962 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-01 9,3365 9,3315 139,56 139,56 1303,00194 1302,30414 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-02 9,3025 9,2975 139,93 139,93 1301,698825 1300,999175 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-05 9,2845 9,2795 139,97 139,97 1299,551465 1298,851615 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-06 9,3225 9,3175 140,09 140,09 1305,989025 1305,288575 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-07 9,3075 9,3025 139,91 139,91 1302,212325 1301,512775 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-08 9,3255 9,3205 139,81 139,81 1303,798155 1303,099105 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-09 9,3445 9,3395 139,99 139,99 1308,136555 1307,436605 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-12 9,3015 9,2965 140,14 140,14 1303,51221 1302,81151 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-13 9,3015 9,2965 139,64 139,64 1298,86146 1298,16326 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-14 9,3365 9,3315 139,75 139,75 1304,775875 1304,077125 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-15 9,3425 9,3375 139,87 139,87 1306,735475 1306,036125 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-16 9,3465 9,3415 139,65 139,65 1305,238725 1304,540475 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-19 9,3355 9,3305 139,31 139,31 1300,528505 1299,831955 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-20 9,3395 9,3345 139,74 139,74 1305,10173 1304,40303 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-21 9,3405 9,3355 139,78 139,78 1305,61509 1304,91619 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-22 9,3405 9,3355 140,27 140,27 1310,191935 1309,490585 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-23 9,3695 9,3645 140,11 140,11 1312,760645 1312,060095 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-26 9,3815 9,3765 139,78 139,78 1311,34607 1310,64717 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-27 9,3885 9,3835 139,23 139,23 1307,160855 1306,464705 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-28 9,3935 9,3885 139,12 139,12 1306,82372 1306,12812 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-29 9,3845 9,3795 139,18 139,18 1306,13471 1305,43881 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-09-30 9,3435 9,3385 139,17 139,17 1300,334895 1299,639045 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-03 9,3025 9,2975 139,14 139,14 1294,34985 1293,65415 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-04 9,3185 9,3135 138,94 138,94 1294,71239 1294,01769 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-05 9,3105 9,3055 139,1 139,1 1295,09055 1294,39505 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-06 9,3015 9,2965 139,22 139,22 1294,95483 1294,25873 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-07 9,3385 9,3335 138,94 138,94 1297,49119 1296,79649 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-10 9,3465 9,3415 138,83 138,83 1297,574595 1296,880445 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-11 9,3395 9,3345 139,01 139,01 1298,283895 1297,588845 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-12 9,3375 9,3325 138,86 138,86 1296,60525 1295,91095 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-13 9,3815 9,3765 138,63 138,63 1300,557345 1299,864195 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-14 9,4135 9,4085 138,27 138,27 1301,604645 1300,913295 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-17 9,4575 9,4525 138,08 138,08 1305,8916 1305,2012 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-18 9,4625 9,4575 137,99 137,99 1305,730375 1305,040425 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-19 9,4605 9,4555 138,15 138,15 1306,968075 1306,277325 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-20 9,4935 9,4885 138,44 138,44 1314,28014 1313,58794 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-21 9,4915 9,4865 138,27 138,27 1312,389705 1311,698355 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-24 9,5455 9,5405 138,55 138,55 1322,529025 1321,836275 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-25 9,5465 9,5415 138,71 138,71 1324,195015 1323,501465 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-26 9,4975 9,4925 138,32 138,32 1313,6942 1313,0026 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-27 9,5355 9,5305 137,77 137,77 1313,705835 1313,016985 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-28 9,5135 9,5085 137,62 137,62 1309,24787 1308,55977 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-10-31 9,5495 9,5445 137,67 137,67 1314,679665 1313,991315 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-02 9,5855 9,5805 137,67 137,67 1319,635785 1318,947435 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-03 9,6515 9,6465 137,45 137,45 1326,598675 1325,911425 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-04 9,5875 9,5825 137,46 137,46 1317,89775 1317,21045 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-07 9,6075 9,6025 137,34 137,34 1319,49405 1318,80735 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-08 9,5685 9,5635 137,24 137,24 1313,18094 1312,49474 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-09 9,5575 9,5525 137,57 137,57 1314,825275 1314,137425 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-10 9,6105 9,6055 137,28 137,28 1319,32944 1318,64304 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-11 9,6365 9,6315 137,33 137,33 1323,380545 1322,693895 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-14 9,5505 9,5455 137,43 137,43 1312,525215 1311,838065 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-15 9,5805 9,5755 137,35 137,35 1315,881675 1315,194925 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-16 9,6235 9,6185 137,48 137,48 1323,03878 1322,35138 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-17 9,6355 9,6305 137,81 137,81 1327,868255 1327,179205 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-18 9,6085 9,6035 137,82 137,82 1324,24347 1323,55437 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-21 9,5915 9,5865 137,27 137,27 1316,625205 1315,938855 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-22 9,5585 9,5535 137,56 137,56 1314,86726 1314,17946 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-23 9,5155 9,5105 137,59 137,59 1309,237645 1308,549695 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-24 9,5125 9,5075 137,68 137,68 1309,681 1308,9926 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-25 9,4965 9,4915 138,2 138,2 1312,4163 1311,7253 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-28 9,4835 9,4785 138,24 138,24 1310,99904 1310,30784 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-29 9,4785 9,4735 138,2 138,2 1309,9287 1309,2377 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-11-30 9,5295 9,5245 137,93 137,93 1314,403935 1313,714285 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-01 9,5165 9,5115 137,99 137,99 1313,181835 1312,491885 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-02 9,4905 9,4855 138,41 138,41 1313,580105 1312,888055 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-05 9,4065 9,4015 138,64 138,64 1304,11716 1303,42396 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-06 9,4185 9,4135 138,48 138,48 1304,27388 1303,58148 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-07 9,4255 9,4205 138,74 138,74 1307,69387 1307,00017 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-08 9,3965 9,3915 138,62 138,62 1302,54283 1301,84973 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-12 9,4315 9,4265 138,44 138,44 1305,69686 1305,00466 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-13 9,4295 9,4245 138,61 138,61 1307,022995 1306,329945 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-14 9,4365 9,4315 138,7 138,7 1308,84255 1308,14905 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-15 9,4345 9,4295 138,86 138,86 1310,07467 1309,38037 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-16 9,4765 9,4715 138,8 138,8 1315,3382 1314,6442 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-19 9,4535 9,4485 139,04 139,04 1314,41464 1313,71944 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-20 9,4015 9,3965 139,12 139,12 1307,93668 1307,24108 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-21 9,4485 9,4435 139,22 139,22 1315,42017 1314,72407 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-22 9,4365 9,4315 138,81 138,81 1309,880565 1309,186515 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-23 9,4425 9,4375 138,84 138,84 1310,9967 1310,3025 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-27 9,4915 9,4865 139,05 139,05 1319,793075 1319,097825 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-28 9,4345 9,4295 139,07 139,07 1312,055915 1311,360565 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-29 9,4115 9,4065 139,22 139,22 1310,26903 1309,57293 935601 ING Investment Management Belgium S.A. ING (L) Renta Fund Euromix Bond EUR 2005-12-30 9,4325 9,4275 139,22 139,22 1313,19265 1312,49655 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-04 12,8005 12,7855 0,6639 0,6639 8,49825195 8,48829345 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-05 12,8355 12,8205 0,6586 0,6586 8,4534603 8,4435813 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-07 12,8955 12,8805 0,6546 0,6546 8,4413943 8,4315753 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-10 13,03576 13,02076 0,6556 0,6556 8,546244256 8,536410256 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-11 13,03576 13,02076 0,6588 0,6588 8,587958688 8,578076688 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-12 12,9275 12,9125 0,6567 0,6567 8,48948925 8,47963875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-13 12,9275 12,9125 0,6586 0,6586 8,5140515 8,5041725 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-14 12,9175 12,9025 0,6624 0,6624 8,556552 8,546616 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-17 12,9455 12,9305 0,6706 0,6706 8,6812523 8,6711933 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-18 12,9175 12,9025 0,6668 0,6668 8,613389 8,603387 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-19 12,9275 12,9125 0,6657 0,6657 8,60583675 8,59585125 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-20 12,9955 12,9805 0,665 0,665 8,6420075 8,6320325 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-21 13,0555 13,0405 0,6654 0,6654 8,6871297 8,6771487 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-24 13,0525 13,0375 0,6618 0,6618 8,6381445 8,6282175 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-25 13,0575 13,0425 0,6642 0,6642 8,6727915 8,6628285 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-26 13,0755 13,0605 0,6679 0,6679 8,73312645 8,72310795 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-27 13,0475 13,0325 0,6698 0,6698 8,7392155 8,7291685 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-28 13,1705 13,1555 0,6709 0,6709 8,83608845 8,82602495 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-01-31 13,1875 13,1725 0,6772 0,6772 8,930575 8,920417 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-01 13,1555 13,1405 0,6744 0,6744 8,8720692 8,8619532 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-02 13,1025 13,0875 0,6773 0,6773 8,87432325 8,86416375 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-03 13,1225 13,1075 0,679 0,679 8,9101775 8,8999925 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-04 13,1855 13,1705 0,6801 0,6801 8,96745855 8,95725705 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-07 13,2305 13,2155 0,6905 0,6905 9,13566025 9,12530275 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-08 13,2175 13,2025 0,6926 0,6926 9,1544405 9,1440515 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-09 13,1775 13,1625 0,6908 0,6908 9,103017 9,092655 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-10 13,1855 13,1705 0,6945 0,6945 9,15732975 9,14691225 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-11 13,2155 13,2005 0,6938 0,6938 9,1689139 9,1585069 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-14 13,2175 13,2025 0,6933 0,6933 9,16369275 9,15329325 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-15 13,2175 13,2025 0,6931 0,6931 9,16104925 9,15065275 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-16 13,1905 13,1755 0,6935 0,6935 9,14761175 9,13720925 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-17 13,1605 13,1455 0,6915 0,6915 9,10048575 9,09011325 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-18 13,2005 13,1855 0,6936 0,6936 9,1558668 9,1454628 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-21 13,2475 13,2325 0,6931 0,6931 9,18184225 9,17144575 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-22 13,1575 13,1425 0,69 0,69 9,078675 9,068325 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-23 13,1405 13,1255 0,6878 0,6878 9,0380359 9,0277189 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-24 13,0725 13,0575 0,6874 0,6874 8,9860365 8,9757255 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-25 13,1575 13,1425 0,6907 0,6907 9,08788525 9,07752475 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-02-28 13,1325 13,1175 0,6932 0,6932 9,103449 9,093051 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-01 13,1855 13,1705 0,6944 0,6944 9,1560112 9,1455952 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-02 13,2105 13,1955 0,6928 0,6928 9,1522344 9,1418424 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-03 13,1875 13,1725 0,695 0,695 9,1653125 9,1548875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-04 13,1505 13,1355 0,6941 0,6941 9,12776205 9,11735055 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-07 13,1305 13,1155 0,6966 0,6966 9,1467063 9,1362573 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-08 13,0925 13,0775 0,6955 0,6955 9,10583375 9,09540125 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-09 13,0505 13,0355 0,6976 0,6976 9,1040288 9,0935648 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-10 13,0175 13,0025 0,6903 0,6903 8,98598025 8,97562575 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-11 12,9975 12,9825 0,6962 0,6962 9,0488595 9,0384165 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-14 12,9805 12,9655 0,6953 0,6953 9,02534165 9,01491215 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-15 13,0475 13,0325 0,6884 0,6884 8,981899 8,971573 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-16 13,0825 13,0675 0,6903 0,6903 9,03084975 9,02049525 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-17 13,0825 13,0675 0,6881 0,6881 9,00206825 8,99174675 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-18 13,0955 13,0805 0,6919 0,6919 9,06077645 9,05039795 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-21 13,1805 13,1655 0,6952 0,6952 9,1630836 9,1526556 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-22 13,1605 13,1455 0,6923 0,6923 9,11101415 9,10062965 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-23 13,1455 13,1305 0,688 0,688 9,044104 9,033784 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-24 13,1205 13,1055 0,6859 0,6859 8,99935095 8,98906245 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-29 13,2125 13,1975 0,6788 0,6788 8,968645 8,958463 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-30 13,2575 13,2425 0,6752 0,6752 8,951464 8,941336 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-03-31 13,2725 13,2575 0,6817 0,6817 9,04786325 9,03763775 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-01 13,3525 13,3375 0,6843 0,6843 9,13711575 9,12685125 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-04 13,3575 13,3425 0,6857 0,6857 9,15923775 9,14895225 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-05 13,4255 13,4105 0,6843 0,6843 9,18706965 9,17680515 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-06 13,4155 13,4005 0,6836 0,6836 9,1708358 9,1605818 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-07 13,3375 13,3225 0,6867 0,6867 9,15886125 9,14856075 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-08 13,3655 13,3505 0,6945 0,6945 9,28233975 9,27192225 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-11 13,3755 13,3605 0,6883 0,6883 9,20635665 9,19603215 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-12 13,3375 13,3225 0,6883 0,6883 9,18020125 9,16987675 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-13 13,3955 13,3805 0,6904 0,6904 9,2482532 9,2378972 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-14 13,4505 13,4355 0,6826 0,6826 9,1813113 9,1710723 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-15 13,4925 13,4775 0,6726 0,6726 9,0750555 9,0649665 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-18 13,4225 13,4075 0,6562 0,6562 8,8078445 8,7980015 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-19 13,4855 13,4705 0,6596 0,6596 8,8950358 8,8851418 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-20 13,5005 13,4855 0,6615 0,6615 8,93058075 8,92065825 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-21 13,4575 13,4425 0,6641 0,6641 8,93712575 8,92716425 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-22 13,4125 13,3975 0,666 0,666 8,932725 8,922735 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-25 13,4775 13,4625 0,6695 0,6695 9,02318625 9,01314375 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-26 13,4225 13,4075 0,6737 0,6737 9,04273825 9,03263275 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-27 13,4605 13,4455 0,6707 0,6707 9,02795735 9,01789685 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-28 13,4755 13,4605 0,6683 0,6683 9,00567665 8,99565215 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-04-29 13,5405 13,5255 0,6658 0,6658 9,0152649 9,0052779 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-03 13,5955 13,5805 0,6725 0,6725 9,14297375 9,13288625 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-04 13,4925 13,4775 0,6703 0,6703 9,04402275 9,03396825 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-06 13,4375 13,4225 0,6788 0,6788 9,121375 9,111193 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-09 13,5205 13,5055 0,6819 0,6819 9,21962895 9,20940045 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-10 13,4755 13,4605 0,682 0,682 9,190291 9,180061 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-11 13,4805 13,4655 0,6804 0,6804 9,1721322 9,1619262 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-12 13,4955 13,4805 0,6866 0,6866 9,2660103 9,2557113 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-13 13,5205 13,5055 0,6877 0,6877 9,29804785 9,28773235 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-16 13,4775 13,4625 0,6889 0,6889 9,28464975 9,27431625 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-17 13,4375 13,4225 0,686 0,686 9,218125 9,207835 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-18 13,3805 13,3655 0,6904 0,6904 9,2378972 9,2275412 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-19 13,3505 13,3355 0,6962 0,6962 9,2946181 9,2841751 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-20 13,3655 13,3505 0,6973 0,6973 9,31976315 9,30930365 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-23 13,3775 13,3625 0,6982 0,6982 9,3401705 9,3296975 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-24 13,3605 13,3455 0,7004 0,7004 9,3576942 9,3471882 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-25 13,3405 13,3255 0,6968 0,6968 9,2956604 9,2852084 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-26 13,3655 13,3505 0,6984 0,6984 9,3344652 9,3239892 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-27 13,3855 13,3705 0,7054 0,7054 9,4421317 9,4315507 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-05-31 13,4475 13,4325 0,7073 0,7073 9,51141675 9,50080725 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-01 13,5155 13,5005 0,7078 0,7078 9,5662709 9,5556539 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-02 13,5755 13,5605 0,7111 0,7111 9,65353805 9,64287155 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-03 13,5255 13,5105 0,714 0,714 9,657207 9,646497 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-07 13,6225 13,6075 0,7127 0,7127 9,70875575 9,69806525 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-08 13,6505 13,6355 0,7145 0,7145 9,75328225 9,74256475 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-09 13,7225 13,7075 0,7171 0,7171 9,84040475 9,82964825 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-10 13,6925 13,6775 0,7195 0,7195 9,85175375 9,84096125 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-13 13,8305 13,8155 0,7271 0,7271 10,05615655 10,04525005 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-14 13,8625 13,8475 0,7425 0,7425 10,29290625 10,28176875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-15 13,9175 13,9025 0,7298 0,7298 10,1569915 10,1460445 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-16 13,9605 13,9455 0,7272 0,7272 10,1520756 10,1411676 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-17 13,9355 13,9205 0,7318 0,7318 10,1979989 10,1870219 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-20 13,7705 13,7555 0,7293 0,7293 10,04282565 10,03188615 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-21 13,9325 13,9175 0,7303 0,7303 10,17490475 10,16395025 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-22 13,9175 13,9025 0,7343 0,7343 10,21962025 10,20860575 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-23 14,0705 14,0555 0,7357 0,7357 10,35166685 10,34063135 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-27 14,1125 14,0975 0,7228 0,7228 10,200515 10,189673 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-28 14,1355 14,1205 0,7295 0,7295 10,31184725 10,30090475 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-29 14,2175 14,2025 0,7282 0,7282 10,3531835 10,3422605 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-06-30 14,1205 14,1055 0,734 0,734 10,364447 10,353437 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-01 13,9625 13,9475 0,7392 0,7392 10,32108 10,309992 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-04 14,0055 13,9905 0,7441 0,7441 10,42149255 10,41033105 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-05 13,9575 13,9425 0,7409 0,7409 10,34111175 10,32999825 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-06 13,8755 13,8605 0,7406 0,7406 10,2761953 10,2650863 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-07 13,7955 13,7805 0,7418 0,7418 10,2335019 10,2223749 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-08 13,7455 13,7305 0,7429 0,7429 10,21153195 10,20038845 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-11 13,7425 13,7275 0,7517 0,7517 10,33023725 10,31896175 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-12 13,7325 13,7175 0,7484 0,7484 10,277403 10,266177 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-13 13,6455 13,6305 0,7526 0,7526 10,2696033 10,2583143 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-14 13,6705 13,6555 0,7624 0,7624 10,4223892 10,4109532 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-15 13,6805 13,6655 0,7599 0,7599 10,39581195 10,38441345 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-18 13,6225 13,6075 0,7662 0,7662 10,4375595 10,4260665 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-19 13,7025 13,6875 0,7715 0,7715 10,57147875 10,55990625 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-20 13,5825 13,5675 0,7751 0,7751 10,52779575 10,51616925 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-21 13,5825 13,5675 0,7773 0,7773 10,55767725 10,54601775 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-22 13,6105 13,5955 0,7856 0,7856 10,6924088 10,6806248 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-25 13,5875 13,5725 0,7889 0,7889 10,71917875 10,70734525 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-26 13,6305 13,6155 0,7879 0,7879 10,73947095 10,72765245 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-27 13,7055 13,6905 0,7862 0,7862 10,7752641 10,7634711 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-28 13,6655 13,6505 0,786 0,786 10,741083 10,729293 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-07-29 13,5975 13,5825 0,7867 0,7867 10,69715325 10,68535275 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-01 13,6055 13,5905 0,7833 0,7833 10,65718815 10,64543865 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-02 13,6355 13,6205 0,7882 0,7882 10,7475011 10,7356781 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-03 13,6005 13,5855 0,7866 0,7866 10,6981533 10,6863543 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-04 13,5175 13,5025 0,7883 0,7883 10,65584525 10,64402075 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-05 13,4275 13,4125 0,7847 0,7847 10,53655925 10,52478875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-08 13,4375 13,4225 0,7804 0,7804 10,486625 10,474919 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-09 13,4755 13,4605 0,7812 0,7812 10,5270606 10,5153426 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-10 13,5305 13,5155 0,7804 0,7804 10,5592022 10,5474962 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-11 13,5455 13,5305 0,7837 0,7837 10,61560835 10,60385285 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-12 13,5225 13,5075 0,7808 0,7808 10,558368 10,546656 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-15 13,6175 13,6025 0,7786 0,7786 10,6025855 10,5909065 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-16 13,6355 13,6205 0,7774 0,7774 10,6002377 10,5885767 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-17 13,7125 13,6975 0,7744 0,7744 10,61896 10,607344 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-18 13,7405 13,7255 0,7653 0,7653 10,51560465 10,50412515 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-19 13,7775 13,7625 0,7674 0,7674 10,5728535 10,5613425 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-22 13,8405 13,8255 0,777 0,777 10,7540685 10,7424135 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-23 13,7805 13,7655 0,7727 0,7727 10,64819235 10,63660185 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-24 13,7555 13,7405 0,7683 0,7683 10,56835065 10,55682615 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-25 13,7055 13,6905 0,7644 0,7644 10,4764842 10,4650182 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-26 13,6875 13,6725 0,766 0,766 10,484625 10,473135 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-30 13,6825 13,6675 0,7632 0,7632 10,442484 10,431036 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-08-31 13,6805 13,6655 0,7655 0,7655 10,47242275 10,46094025 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-01 13,6375 13,6225 0,7668 0,7668 10,457235 10,445733 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-02 13,6475 13,6325 0,7619 0,7619 10,39803025 10,38660175 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-05 13,6855 13,6705 0,7576 0,7576 10,3681348 10,3567708 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-06 13,7625 13,7475 0,76 0,76 10,4595 10,4481 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-07 13,7105 13,6955 0,7671 0,7671 10,51732455 10,50581805 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-08 13,7855 13,7705 0,7669 0,7669 10,57209995 10,56059645 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-09 13,8275 13,8125 0,7682 0,7682 10,6222855 10,6107625 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-12 13,8055 13,7905 0,7751 0,7751 10,70064305 10,68901655 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-13 13,7805 13,7655 0,7752 0,7752 10,6826436 10,6710156 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-14 13,8805 13,8655 0,7792 0,7792 10,8156856 10,8039976 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-15 13,8955 13,8805 0,7836 0,7836 10,8885138 10,8767598 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-16 13,7905 13,7755 0,7817 0,7817 10,78003385 10,76830835 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-19 13,8555 13,8405 0,7829 0,7829 10,84747095 10,83572745 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-20 13,8775 13,8625 0,7899 0,7899 10,96183725 10,94998875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-21 13,8375 13,8225 0,7865 0,7865 10,88319375 10,87139625 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-22 13,8355 13,8205 0,7868 0,7868 10,8857714 10,8739694 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-23 13,8055 13,7905 0,7856 0,7856 10,8456008 10,8338168 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-26 13,8325 13,8175 0,7981 0,7981 11,03971825 11,02774675 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-27 13,8205 13,8055 0,8019 0,8019 11,08265895 11,07063045 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-28 13,8275 13,8125 0,8051 0,8051 11,13252025 11,12044375 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-29 13,7475 13,7325 0,8117 0,8117 11,15884575 11,14667025 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-09-30 13,6775 13,6625 0,8112 0,8112 11,095188 11,08302 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-03 13,6775 13,6625 0,8143 0,8143 11,13758825 11,12537375 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-04 13,7375 13,7225 0,8184 0,8184 11,24277 11,230494 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-05 13,7405 13,7255 0,8067 0,8067 11,08446135 11,07236085 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-06 13,6705 13,6555 0,7888 0,7888 10,7832904 10,7714584 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-07 13,5955 13,5805 0,7895 0,7895 10,73364725 10,72180475 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-10 13,5675 13,5525 0,7992 0,7992 10,843146 10,831158 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-11 13,5855 13,5705 0,8005 0,8005 10,87519275 10,86318525 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-12 13,5955 13,5805 0,7943 0,7943 10,79890565 10,78699115 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-13 13,6675 13,6525 0,7855 0,7855 10,73582125 10,72403875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-14 13,7555 13,7405 0,7819 0,7819 10,75542545 10,74369695 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-17 13,8475 13,8325 0,7761 0,7761 10,74704475 10,73540325 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-18 13,8225 13,8075 0,7828 0,7828 10,820253 10,808511 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-19 13,8975 13,8825 0,7615 0,7615 10,58294625 10,57152375 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-20 13,9905 13,9755 0,7607 0,7607 10,64257335 10,63116285 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-21 14,0025 13,9875 0,7589 0,7589 10,62649725 10,61511375 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-24 14,1375 14,1225 0,7581 0,7581 10,71763875 10,70626725 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-25 14,1225 14,1075 0,7571 0,7571 10,69214475 10,68078825 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-26 13,9955 13,9805 0,7637 0,7637 10,68836335 10,67690785 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-27 14,0405 14,0255 0,7568 0,7568 10,6258504 10,6144984 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-28 13,9655 13,9505 0,7487 0,7487 10,45596985 10,44473935 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-10-31 14,0725 14,0575 0,7605 0,7605 10,70213625 10,69072875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-01 14,1055 14,0905 0,7711 0,7711 10,87675105 10,86518455 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-02 14,0775 14,0625 0,7747 0,7747 10,90583925 10,89421875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-03 14,2125 14,1975 0,7741 0,7741 11,00189625 10,99028475 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-04 14,1905 14,1755 0,7779 0,7779 11,03878995 11,02712145 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-07 14,2275 14,2125 0,7796 0,7796 11,091759 11,080065 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-08 14,1725 14,1575 0,7882 0,7882 11,1707645 11,1589415 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-09 14,1525 14,1375 0,7917 0,7917 11,20453425 11,19265875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-10 14,2425 14,2275 0,7899 0,7899 11,25015075 11,23830225 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-11 14,3475 14,3325 0,7993 0,7993 11,46795675 11,45596725 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-14 14,1905 14,1755 0,7991 0,7991 11,33962855 11,32764205 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-15 14,2325 14,2175 0,8017 0,8017 11,41019525 11,39816975 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-16 14,2475 14,2325 0,8062 0,8062 11,4863345 11,4742415 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-17 14,1855 14,1705 0,8116 0,8116 11,5129518 11,5007778 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-18 14,0775 14,0625 0,8213 0,8213 11,56185075 11,54953125 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-21 13,9755 13,9605 0,82 0,82 11,45991 11,44761 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-22 13,9775 13,9625 0,8139 0,8139 11,37628725 11,36407875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-23 13,8705 13,8555 0,8209 0,8209 11,38629345 11,37397995 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-24 13,8725 13,8575 0,8234 0,8234 11,4226165 11,4102655 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-25 13,8775 13,8625 0,8238 0,8238 11,4322845 11,4199275 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-28 13,8505 13,8355 0,8305 0,8305 11,50284025 11,49038275 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-29 13,8325 13,8175 0,8199 0,8199 11,34126675 11,32896825 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-11-30 13,9255 13,9105 0,8214 0,8214 11,4384057 11,4260847 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-01 13,9955 13,9805 0,8183 0,8183 11,45251765 11,44024315 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-02 14,0055 13,9905 0,8259 0,8259 11,56714245 11,55475395 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-05 13,9175 13,9025 0,8269 0,8269 11,50838075 11,49597725 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-06 13,9455 13,9305 0,8308 0,8308 11,5859214 11,5734594 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-07 13,9105 13,8955 0,8318 0,8318 11,5707539 11,5582769 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-08 13,8955 13,8805 0,8181 0,8181 11,36790855 11,35563705 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-12 14,0125 13,9975 0,8165 0,8165 11,44120625 11,42895875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-13 14,0075 13,9925 0,8144 0,8144 11,407708 11,395492 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-14 13,9555 13,9405 0,8168 0,8168 11,3988524 11,3866004 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-15 13,9105 13,8955 0,8162 0,8162 11,3537501 11,3415071 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-16 13,9755 13,9605 0,8162 0,8162 11,4068031 11,3945601 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-19 13,9125 13,8975 0,8245 0,8245 11,47085625 11,45848875 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-20 13,8225 13,8075 0,8227 0,8227 11,37177075 11,35943025 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-21 13,9605 13,9455 0,8358 0,8358 11,6681859 11,6556489 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-22 13,8975 13,8825 0,839 0,839 11,6600025 11,6474175 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-23 13,8255 13,8105 0,8453 0,8453 11,68669515 11,67401565 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-28 13,7705 13,7555 0,8468 0,8468 11,6608594 11,6481574 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-29 13,6655 13,6505 0,8582 0,8582 11,7277321 11,7148591 922203 Insight Investment Funds Management Limited Insight Investment Asia Pacific Equity Fund GBP 2005-12-30 13,7405 13,7255 0,8565 0,8565 11,76873825 11,75589075 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-04 12,8005 12,7855 0,6388 0,6388 8,1769594 8,1673774 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-05 12,8355 12,8205 0,6368 0,6368 8,1736464 8,1640944 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-07 12,8955 12,8805 0,6376 0,6376 8,2221708 8,2126068 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-10 13,03576 13,02076 0,6338 0,6338 8,262064688 8,252557688 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-11 13,03576 13,02076 0,6365 0,6365 8,29726124 8,28771374 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-12 12,9275 12,9125 0,6346 0,6346 8,2037915 8,1942725 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-13 12,9275 12,9125 0,6368 0,6368 8,232232 8,22268 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-14 12,9175 12,9025 0,6377 0,6377 8,23748975 8,22792425 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-17 12,9455 12,9305 0,6387 0,6387 8,26829085 8,25871035 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-18 12,9175 12,9025 0,6357 0,6357 8,21165475 8,20211925 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-19 12,9275 12,9125 0,6361 0,6361 8,22318275 8,21364125 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-20 12,9955 12,9805 0,6313 0,6313 8,20405915 8,19458965 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-21 13,0555 13,0405 0,6328 0,6328 8,2615204 8,2520284 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-24 13,0525 13,0375 0,6339 0,6339 8,27397975 8,26447125 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-25 13,0575 13,0425 0,6348 0,6348 8,288901 8,279379 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-26 13,0755 13,0605 0,631 0,631 8,2506405 8,2411755 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-27 13,0475 13,0325 0,6309 0,6309 8,23166775 8,22220425 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-28 13,1705 13,1555 0,631 0,631 8,3105855 8,3011205 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-01-31 13,1875 13,1725 0,6314 0,6314 8,3265875 8,3171165 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-01 13,1555 13,1405 0,6327 0,6327 8,32348485 8,31399435 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-02 13,1025 13,0875 0,6336 0,6336 8,301744 8,29224 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-03 13,1225 13,1075 0,6304 0,6304 8,272424 8,262968 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-04 13,1855 13,1705 0,6293 0,6293 8,29763515 8,28819565 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-07 13,2305 13,2155 0,6305 0,6305 8,34183025 8,33237275 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-08 13,2175 13,2025 0,6307 0,6307 8,33627725 8,32681675 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-09 13,1775 13,1625 0,6327 0,6327 8,33740425 8,32791375 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-10 13,1855 13,1705 0,6335 0,6335 8,35301425 8,34351175 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-11 13,2155 13,2005 0,634 0,634 8,378627 8,369117 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-14 13,2175 13,2025 0,631 0,631 8,3402425 8,3307775 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-15 13,2175 13,2025 0,6311 0,6311 8,34156425 8,33209775 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-16 13,1905 13,1755 0,6345 0,6345 8,36937225 8,35985475 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-17 13,1605 13,1455 0,6325 0,6325 8,32401625 8,31452875 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-18 13,2005 13,1855 0,629 0,629 8,3031145 8,2936795 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-21 13,2475 13,2325 0,6274 0,6274 8,3114815 8,3020705 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-22 13,1575 13,1425 0,6291 0,6291 8,27738325 8,26794675 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-23 13,1405 13,1255 0,6297 0,6297 8,27457285 8,26512735 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-24 13,0725 13,0575 0,6311 0,6311 8,25005475 8,24058825 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-25 13,1575 13,1425 0,6269 0,6269 8,24843675 8,23903325 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-02-28 13,1325 13,1175 0,6281 0,6281 8,24852325 8,23910175 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-01 13,1855 13,1705 0,6248 0,6248 8,2383004 8,2289284 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-02 13,2105 13,1955 0,6242 0,6242 8,2459941 8,2366311 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-03 13,1875 13,1725 0,6241 0,6241 8,23031875 8,22095725 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-04 13,1505 13,1355 0,6231 0,6231 8,19407655 8,18473005 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-07 13,1305 13,1155 0,6286 0,6286 8,2538323 8,2444033 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-08 13,0925 13,0775 0,6283 0,6283 8,22601775 8,21659325 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-09 13,0505 13,0355 0,6306 0,6306 8,2296453 8,2201863 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-10 13,0175 13,0025 0,6309 0,6309 8,21274075 8,20327725 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-11 12,9975 12,9825 0,6341 0,6341 8,24171475 8,23220325 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-14 12,9805 12,9655 0,6329 0,6329 8,21535845 8,20586495 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-15 13,0475 13,0325 0,6327 0,6327 8,25515325 8,24566275 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-16 13,0825 13,0675 0,6312 0,6312 8,257674 8,248206 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-17 13,0825 13,0675 0,632 0,632 8,26814 8,25866 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-18 13,0955 13,0805 0,6309 0,6309 8,26195095 8,25248745 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-21 13,1805 13,1655 0,63 0,63 8,303715 8,294265 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-22 13,1605 13,1455 0,6307 0,6307 8,30032735 8,29086685 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-23 13,1455 13,1305 0,6296 0,6296 8,2764068 8,2669628 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-24 13,1205 13,1055 0,63 0,63 8,265915 8,256465 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-29 13,2125 13,1975 0,6261 0,6261 8,27234625 8,26295475 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-30 13,2575 13,2425 0,6261 0,6261 8,30052075 8,29112925 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-03-31 13,2725 13,2575 0,6268 0,6268 8,319203 8,309801 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-01 13,3525 13,3375 0,6263 0,6263 8,36267075 8,35327625 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-04 13,3575 13,3425 0,6273 0,6273 8,37915975 8,36975025 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-05 13,4255 13,4105 0,6241 0,6241 8,37885455 8,36949305 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-06 13,4155 13,4005 0,6258 0,6258 8,3954199 8,3860329 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-07 13,3375 13,3225 0,6271 0,6271 8,36394625 8,35453975 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-08 13,3655 13,3505 0,6275 0,6275 8,38685125 8,37743875 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-11 13,3755 13,3605 0,6272 0,6272 8,3891136 8,3797056 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-12 13,3375 13,3225 0,627 0,627 8,3626125 8,3532075 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-13 13,3955 13,3805 0,6259 0,6259 8,38424345 8,37485495 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-14 13,4505 13,4355 0,6234 0,6234 8,3850417 8,3756907 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-15 13,4925 13,4775 0,624 0,624 8,41932 8,40996 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-18 13,4225 13,4075 0,6273 0,6273 8,41993425 8,41052475 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-19 13,4855 13,4705 0,6238 0,6238 8,4122549 8,4028979 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-20 13,5005 13,4855 0,6263 0,6263 8,45536315 8,44596865 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-21 13,4575 13,4425 0,6288 0,6288 8,462076 8,452644 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-22 13,4125 13,3975 0,6269 0,6269 8,40829625 8,39889275 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-25 13,4775 13,4625 0,6244 0,6244 8,415351 8,405985 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-26 13,4225 13,4075 0,6275 0,6275 8,42261875 8,41320625 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-27 13,4605 13,4455 0,6254 0,6254 8,4181967 8,4088157 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-28 13,4755 13,4605 0,6256 0,6256 8,4302728 8,4208888 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-04-29 13,5405 13,5255 0,625 0,625 8,4628125 8,4534375 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-03 13,5955 13,5805 0,6285 0,6285 8,54477175 8,53534425 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-04 13,4925 13,4775 0,6293 0,6293 8,49083025 8,48139075 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-06 13,4375 13,4225 0,6307 0,6307 8,47503125 8,46557075 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-09 13,5205 13,5055 0,6278 0,6278 8,4881699 8,4787529 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-10 13,4755 13,4605 0,6304 0,6304 8,4949552 8,4854992 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-11 13,4805 13,4655 0,6341 0,6341 8,54798505 8,53847355 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-12 13,4955 13,4805 0,6338 0,6338 8,5534479 8,5439409 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-13 13,5205 13,5055 0,631 0,631 8,5314355 8,5219705 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-16 13,4775 13,4625 0,6358 0,6358 8,5689945 8,5594575 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-17 13,4375 13,4225 0,6371 0,6371 8,56103125 8,55147475 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-18 13,3805 13,3655 0,6395 0,6395 8,55682975 8,54723725 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-19 13,3505 13,3355 0,6385 0,6385 8,52429425 8,51471675 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-20 13,3655 13,3505 0,6375 0,6375 8,52050625 8,51094375 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-23 13,3775 13,3625 0,6366 0,6366 8,5161165 8,5065675 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-24 13,3605 13,3455 0,6413 0,6413 8,56808865 8,55846915 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-25 13,3405 13,3255 0,6414 0,6414 8,5565967 8,5469757 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-26 13,3655 13,3505 0,6397 0,6397 8,54991035 8,54031485 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-27 13,3855 13,3705 0,6393 0,6393 8,55735015 8,54776065 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-05-31 13,4475 13,4325 0,6312 0,6312 8,488062 8,478594 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-01 13,5155 13,5005 0,6301 0,6301 8,51611655 8,50666505 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-02 13,5755 13,5605 0,6322 0,6322 8,5824311 8,5729481 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-03 13,5255 13,5105 0,6335 0,6335 8,56840425 8,55890175 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-07 13,6225 13,6075 0,6313 0,6313 8,59988425 8,59041475 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-08 13,6505 13,6355 0,6338 0,6338 8,6516869 8,6421799 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-09 13,7225 13,7075 0,6321 0,6321 8,67399225 8,66451075 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-10 13,6925 13,6775 0,6326 0,6326 8,6618755 8,6523865 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-13 13,8305 13,8155 0,6289 0,6289 8,69800145 8,68856795 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-14 13,8625 13,8475 0,629 0,629 8,7195125 8,7100775 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-15 13,9175 13,9025 0,6238 0,6238 8,6817365 8,6723795 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-16 13,9605 13,9455 0,6199 0,6199 8,65411395 8,64481545 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-17 13,9355 13,9205 0,6231 0,6231 8,68321005 8,67386355 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-20 13,7705 13,7555 0,625 0,625 8,6065625 8,5971875 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-21 13,9325 13,9175 0,6235 0,6235 8,68691375 8,67756125 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-22 13,9175 13,9025 0,6277 0,6277 8,73601475 8,72659925 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-23 14,0705 14,0555 0,6254 0,6254 8,7996907 8,7903097 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-27 14,1125 14,0975 0,6279 0,6279 8,86123875 8,85182025 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-28 14,1355 14,1205 0,6263 0,6263 8,85306365 8,84366915 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-29 14,2175 14,2025 0,6267 0,6267 8,91010725 8,90070675 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-06-30 14,1205 14,1055 0,6335 0,6335 8,94533675 8,93583425 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-01 13,9625 13,9475 0,6397 0,6397 8,93181125 8,92221575 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-04 14,0055 13,9905 0,6367 0,6367 8,91730185 8,90775135 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-05 13,9575 13,9425 0,6361 0,6361 8,87836575 8,86882425 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-06 13,8755 13,8605 0,6363 0,6363 8,82898065 8,81943615 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-07 13,7955 13,7805 0,6476 0,6476 8,9339658 8,9242518 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-08 13,7455 13,7305 0,6454 0,6454 8,8713457 8,8616647 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-11 13,7425 13,7275 0,6464 0,6464 8,883152 8,873456 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-12 13,7325 13,7175 0,6448 0,6448 8,854716 8,845044 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-13 13,6455 13,6305 0,6455 0,6455 8,80817025 8,79848775 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-14 13,6705 13,6555 0,6414 0,6414 8,7682587 8,7586377 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-15 13,6805 13,6655 0,6425 0,6425 8,78972125 8,78008375 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-18 13,6225 13,6075 0,6449 0,6449 8,78515025 8,77547675 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-19 13,7025 13,6875 0,6437 0,6437 8,82029925 8,81064375 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-20 13,5825 13,5675 0,6487 0,6487 8,81096775 8,80123725 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-21 13,5825 13,5675 0,6498 0,6498 8,8259085 8,8161615 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-22 13,6105 13,5955 0,6506 0,6506 8,8549913 8,8452323 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-25 13,5875 13,5725 0,6499 0,6499 8,83051625 8,82076775 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-26 13,6305 13,6155 0,6466 0,6466 8,8134813 8,8037823 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-27 13,7055 13,6905 0,6473 0,6473 8,87157015 8,86186065 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-28 13,6655 13,6505 0,6475 0,6475 8,84841125 8,83869875 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-07-29 13,5975 13,5825 0,6457 0,6457 8,77990575 8,77022025 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-01 13,6055 13,5905 0,6467 0,6467 8,79867685 8,78897635 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-02 13,6355 13,6205 0,6444 0,6444 8,7867162 8,7770502 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-03 13,6005 13,5855 0,6459 0,6459 8,78456295 8,77487445 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-04 13,5175 13,5025 0,6473 0,6473 8,74987775 8,74016825 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-05 13,4275 13,4125 0,649 0,649 8,7144475 8,7047125 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-08 13,4375 13,4225 0,6457 0,6457 8,67659375 8,66690825 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-09 13,4755 13,4605 0,6472 0,6472 8,7213436 8,7116356 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-10 13,5305 13,5155 0,6453 0,6453 8,73123165 8,72155215 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-11 13,5455 13,5305 0,643 0,643 8,7097565 8,7001115 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-12 13,5225 13,5075 0,6425 0,6425 8,68820625 8,67856875 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-15 13,6175 13,6025 0,6403 0,6403 8,71928525 8,70968075 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-16 13,6355 13,6205 0,638 0,638 8,699449 8,689879 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-17 13,7125 13,6975 0,6372 0,6372 8,737605 8,728047 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-18 13,7405 13,7255 0,6364 0,6364 8,7444542 8,7349082 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-19 13,7775 13,7625 0,6372 0,6372 8,779023 8,769465 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-22 13,8405 13,8255 0,6379 0,6379 8,82885495 8,81928645 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-23 13,7805 13,7655 0,6392 0,6392 8,8084956 8,7989076 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-24 13,7555 13,7405 0,6404 0,6404 8,8090222 8,7994162 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-25 13,7055 13,6905 0,642 0,642 8,798931 8,789301 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-26 13,6875 13,6725 0,6416 0,6416 8,7819 8,772276 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-30 13,6825 13,6675 0,6424 0,6424 8,789638 8,780002 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-08-31 13,6805 13,6655 0,6441 0,6441 8,81161005 8,80194855 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-01 13,6375 13,6225 0,6441 0,6441 8,78391375 8,77425225 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-02 13,6475 13,6325 0,6437 0,6437 8,78489575 8,77524025 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-05 13,6855 13,6705 0,6396 0,6396 8,7532458 8,7436518 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-06 13,7625 13,7475 0,6371 0,6371 8,76808875 8,75853225 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-07 13,7105 13,6955 0,6388 0,6388 8,7582674 8,7486854 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-08 13,7855 13,7705 0,6362 0,6362 8,7703351 8,7607921 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-09 13,8275 13,8125 0,6378 0,6378 8,8191795 8,8096125 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-12 13,8055 13,7905 0,635 0,635 8,7664925 8,7569675 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-13 13,7805 13,7655 0,6328 0,6328 8,7203004 8,7108084 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-14 13,8805 13,8655 0,6349 0,6349 8,81272945 8,80320595 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-15 13,8955 13,8805 0,6369 0,6369 8,85004395 8,84049045 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-16 13,7905 13,7755 0,6371 0,6371 8,78592755 8,77637105 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-19 13,8555 13,8405 0,6343 0,6343 8,78854365 8,77902915 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-20 13,8775 13,8625 0,6362 0,6362 8,8288655 8,8193225 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-21 13,8375 13,8225 0,6377 0,6377 8,82417375 8,81460825 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-22 13,8355 13,8205 0,6424 0,6424 8,8879252 8,8782892 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-23 13,8055 13,7905 0,6411 0,6411 8,85070605 8,84108955 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-26 13,8325 13,8175 0,6401 0,6401 8,85418325 8,84458175 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-27 13,8205 13,8055 0,6406 0,6406 8,8534123 8,8438033 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-28 13,8275 13,8125 0,6406 0,6406 8,8578965 8,8482875 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-29 13,7475 13,7325 0,6424 0,6424 8,831394 8,821758 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-09-30 13,6775 13,6625 0,642 0,642 8,780955 8,771325 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-03 13,6775 13,6625 0,6391 0,6391 8,74129025 8,73170375 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-04 13,7375 13,7225 0,6373 0,6373 8,75490875 8,74534925 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-05 13,7405 13,7255 0,6373 0,6373 8,75682065 8,74726115 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-06 13,6705 13,6555 0,639 0,639 8,7354495 8,7258645 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-07 13,5955 13,5805 0,6444 0,6444 8,7609402 8,7512742 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-10 13,5675 13,5525 0,6473 0,6473 8,78224275 8,77253325 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-11 13,5855 13,5705 0,6445 0,6445 8,75585475 8,74618725 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-12 13,5955 13,5805 0,6439 0,6439 8,75414245 8,74448395 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-13 13,6675 13,6525 0,6405 0,6405 8,75403375 8,74442625 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-14 13,7555 13,7405 0,6401 0,6401 8,80489555 8,79529405 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-17 13,8475 13,8325 0,6385 0,6385 8,84162875 8,83205125 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-18 13,8225 13,8075 0,6383 0,6383 8,82290175 8,81332725 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-19 13,8975 13,8825 0,6357 0,6357 8,83464075 8,82510525 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-20 13,9905 13,9755 0,6315 0,6315 8,83500075 8,82552825 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-21 14,0025 13,9875 0,6326 0,6326 8,8579815 8,8484925 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-24 14,1375 14,1225 0,6318 0,6318 8,9320725 8,9225955 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-25 14,1225 14,1075 0,6315 0,6315 8,91835875 8,90888625 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-26 13,9955 13,9805 0,632 0,632 8,845156 8,835676 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-27 14,0405 14,0255 0,6319 0,6319 8,87219195 8,86271345 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-28 13,9655 13,9505 0,6335 0,6335 8,84714425 8,83764175 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-10-31 14,0725 14,0575 0,6294 0,6294 8,8572315 8,8477905 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-01 14,1055 14,0905 0,6314 0,6314 8,9062127 8,8967417 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-02 14,0775 14,0625 0,6305 0,6305 8,87586375 8,86640625 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-03 14,2125 14,1975 0,6292 0,6292 8,942505 8,933067 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-04 14,1905 14,1755 0,6266 0,6266 8,8917673 8,8823683 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-07 14,2275 14,2125 0,6263 0,6263 8,91068325 8,90128875 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-08 14,1725 14,1575 0,6257 0,6257 8,86773325 8,85834775 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-09 14,1525 14,1375 0,626 0,626 8,859465 8,850075 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-10 14,2425 14,2275 0,6232 0,6232 8,875926 8,866578 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-11 14,3475 14,3325 0,622 0,622 8,924145 8,914815 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-14 14,1905 14,1755 0,6234 0,6234 8,8463577 8,8370067 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-15 14,2325 14,2175 0,6224 0,6224 8,858308 8,848972 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-16 14,2475 14,2325 0,6269 0,6269 8,93175775 8,92235425 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-17 14,1855 14,1705 0,6307 0,6307 8,94679485 8,93733435 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-18 14,0775 14,0625 0,6326 0,6326 8,9054265 8,8959375 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-21 13,9755 13,9605 0,6352 0,6352 8,8772376 8,8677096 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-22 13,9775 13,9625 0,6328 0,6328 8,844962 8,83547 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-23 13,8705 13,8555 0,6331 0,6331 8,78141355 8,77191705 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-24 13,8725 13,8575 0,6344 0,6344 8,800714 8,791198 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-25 13,8775 13,8625 0,6348 0,6348 8,809437 8,799915 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-28 13,8505 13,8355 0,6349 0,6349 8,79368245 8,78415895 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-29 13,8325 13,8175 0,6366 0,6366 8,8057695 8,7962205 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-11-30 13,9255 13,9105 0,63 0,63 8,773065 8,763615 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-01 13,9955 13,9805 0,6322 0,6322 8,8479551 8,8384721 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-02 14,0055 13,9905 0,629 0,629 8,8094595 8,8000245 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-05 13,9175 13,9025 0,6276 0,6276 8,734623 8,725209 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-06 13,9455 13,9305 0,6313 0,6313 8,80379415 8,79432465 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-07 13,9105 13,8955 0,6283 0,6283 8,73996715 8,73054265 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-08 13,8955 13,8805 0,6272 0,6272 8,7152576 8,7058496 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-12 14,0125 13,9975 0,6255 0,6255 8,76481875 8,75543625 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-13 14,0075 13,9925 0,6257 0,6257 8,76449275 8,75510725 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-14 13,9555 13,9405 0,6319 0,6319 8,81848045 8,80900195 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-15 13,9105 13,8955 0,6315 0,6315 8,78448075 8,77500825 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-16 13,9755 13,9605 0,6315 0,6315 8,82552825 8,81605575 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-19 13,9125 13,8975 0,635 0,635 8,8344375 8,8249125 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-20 13,8225 13,8075 0,6319 0,6319 8,73443775 8,72495925 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-21 13,9605 13,9455 0,6327 0,6327 8,83280835 8,82331785 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-22 13,8975 13,8825 0,6337 0,6337 8,80684575 8,79734025 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-23 13,8255 13,8105 0,6366 0,6366 8,8013133 8,7917643 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-28 13,7705 13,7555 0,6407 0,6407 8,82275935 8,81314885 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-29 13,6655 13,6505 0,643 0,643 8,7869165 8,7772715 237180 Insight Investment Funds Management Limited Insight Investment European Bond Fund GBP 2005-12-30 13,7405 13,7255 0,6431 0,6431 8,83651555 8,82686905 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-04 9,0345 9,0295 2,1943 2,1943 19,82440335 19,81343185 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-05 9,0615 9,0565 2,1808 2,1808 19,7613192 19,7504152 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-07 9,0615 9,0565 2,1888 2,1888 19,8338112 19,8228672 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-10 9,08619 9,08119 2,1897 2,1897 19,896030243 19,885081743 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-11 9,08619 9,08119 2,1767 2,1767 19,777909773 19,767026273 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-12 9,0455 9,0405 2,176 2,176 19,683008 19,672128 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-13 9,0505 9,0455 2,1638 2,1638 19,5834719 19,5726529 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-14 9,0455 9,0405 2,1738 2,1738 19,6631079 19,6522389 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-17 9,0685 9,0635 2,1857 2,1857 19,82102045 19,81009195 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-18 9,0585 9,0535 2,178 2,178 19,729413 19,718523 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-19 9,0225 9,0175 2,1903 2,1903 19,76198175 19,75103025 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-20 9,0315 9,0265 2,1772 2,1772 19,6633818 19,6524958 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-21 9,0505 9,0455 2,18 2,18 19,73009 19,71919 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-24 9,0655 9,0605 2,1753 2,1753 19,72018215 19,70930565 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-25 9,0715 9,0665 2,1844 2,1844 19,8157846 19,8048626 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-26 9,0885 9,0835 2,1906 2,1906 19,9092681 19,8983151 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-27 9,0675 9,0625 2,1912 2,1912 19,868706 19,85775 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-28 9,0955 9,0905 2,1975 2,1975 19,98736125 19,97637375 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-01-31 9,1075 9,1025 2,2044 2,2044 20,076573 20,065551 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-01 9,1035 9,0985 2,2117 2,2117 20,13421095 20,12315245 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-02 9,0905 9,0855 2,2265 2,2265 20,23999825 20,22886575 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-03 9,0695 9,0645 2,2251 2,2251 20,18054445 20,16941895 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-04 9,0895 9,0845 2,2348 2,2348 20,3132146 20,3020406 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-07 9,0755 9,0705 2,2529 2,2529 20,44619395 20,43492945 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-08 9,0895 9,0845 2,2517 2,2517 20,46682715 20,45556865 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-09 9,0695 9,0645 2,2492 2,2492 20,3991194 20,3878734 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-10 9,0805 9,0755 2,2537 2,2537 20,46472285 20,45345435 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-11 9,0935 9,0885 2,2632 2,2632 20,5804092 20,5690932 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-14 9,1105 9,1055 2,273 2,273 20,7081665 20,6968015 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-15 9,0765 9,0715 2,2847 2,2847 20,73707955 20,72565605 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-16 9,0705 9,0655 2,2789 2,2789 20,67076245 20,65936795 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-17 9,0925 9,0875 2,2853 2,2853 20,77909025 20,76766375 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-18 9,0945 9,0895 2,2868 2,2868 20,7973026 20,7858686 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-21 9,1185 9,1135 2,2752 2,2752 20,7464112 20,7350352 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-22 9,0975 9,0925 2,2523 2,2523 20,49029925 20,47903775 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-23 9,1045 9,0995 2,2391 2,2391 20,38588595 20,37469045 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-24 9,0715 9,0665 2,2551 2,2551 20,45713965 20,44586415 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-25 9,0845 9,0795 2,2727 2,2727 20,64634315 20,63497965 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-02-28 9,0505 9,0455 2,2861 2,2861 20,69034805 20,67891755 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-01 9,0565 9,0515 2,2946 2,2946 20,7810449 20,7695719 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-02 9,0645 9,0595 2,2965 2,2965 20,81662425 20,80514175 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-03 9,0675 9,0625 2,2993 2,2993 20,84890275 20,83740625 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-04 9,0415 9,0365 2,3047 2,3047 20,83794505 20,82642155 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-07 9,0425 9,0375 2,3254 2,3254 21,0274295 21,0158025 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-08 9,0345 9,0295 2,3177 2,3177 20,93926065 20,92767215 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-09 9,0365 9,0315 2,321 2,321 20,9737165 20,9621115 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-10 9,0655 9,0605 2,2911 2,2911 20,76996705 20,75851155 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-11 9,0795 9,0745 2,2978 2,2978 20,8628751 20,8513861 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-14 9,0695 9,0645 2,2889 2,2889 20,75917855 20,74773405 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-15 9,1035 9,0985 2,3002 2,3002 20,9398707 20,9283697 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-16 9,0975 9,0925 2,2944 2,2944 20,873304 20,861832 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-17 9,1045 9,0995 2,2708 2,2708 20,6744986 20,6631446 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-18 9,1035 9,0985 2,2777 2,2777 20,73504195 20,72365345 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-21 9,1265 9,1215 2,2794 2,2794 20,8029441 20,7915471 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-22 9,1265 9,1215 2,2588 2,2588 20,6149382 20,6036442 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-23 9,1165 9,1115 2,2601 2,2601 20,60420165 20,59290115 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-24 9,1135 9,1085 2,2747 2,2747 20,73047845 20,71910495 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-29 9,1315 9,1265 2,27 2,27 20,728505 20,717155 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-30 9,1425 9,1375 2,2703 2,2703 20,75621775 20,74486625 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-03-31 9,1405 9,1355 2,2802 2,2802 20,8421681 20,8307671 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-01 9,1645 9,1595 2,2786 2,2786 20,8822297 20,8708367 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-04 9,1695 9,1645 2,2684 2,2684 20,8000938 20,7887518 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-05 9,1745 9,1695 2,2829 2,2829 20,94446605 20,93305155 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-06 9,1705 9,1655 2,2979 2,2979 21,07289195 21,06140245 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-07 9,1505 9,1455 2,3067 2,3067 21,10745835 21,09592485 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-08 9,1625 9,1575 2,3149 2,3149 21,21027125 21,19869675 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-11 9,1705 9,1655 2,3061 2,3061 21,14809005 21,13655955 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-12 9,1525 9,1475 2,3049 2,3049 21,09559725 21,08407275 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-13 9,1495 9,1445 2,3066 2,3066 21,1042367 21,0927037 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-14 9,1685 9,1635 2,2996 2,2996 21,0838826 21,0723846 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-15 9,1925 9,1875 2,268 2,268 20,84859 20,83725 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-18 9,1805 9,1755 2,2191 2,2191 20,37244755 20,36135205 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-19 9,2035 9,1985 2,2268 2,2268 20,4943538 20,4832198 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-20 9,1915 9,1865 2,2335 2,2335 20,52921525 20,51804775 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-21 9,1855 9,1805 2,2261 2,2261 20,44784155 20,43671105 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-22 9,1625 9,1575 2,2371 2,2371 20,49742875 20,48624325 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-25 9,1685 9,1635 2,2305 2,2305 20,45033925 20,43918675 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-26 9,1375 9,1325 2,2334 2,2334 20,4076925 20,3965255 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-27 9,1465 9,1415 2,215 2,215 20,2594975 20,2484225 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-28 9,1505 9,1455 2,2076 2,2076 20,2006438 20,1896058 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-04-29 9,1705 9,1655 2,2104 2,2104 20,2704732 20,2594212 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-03 9,2245 9,2195 2,2294 2,2294 20,5651003 20,5539533 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-04 9,1915 9,1865 2,2257 2,2257 20,45752155 20,44639305 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-06 9,1715 9,1665 2,2438 2,2438 20,5790117 20,5677927 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-09 9,1815 9,1765 2,248 2,248 20,640012 20,628772 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-10 9,1985 9,1935 2,2457 2,2457 20,65707145 20,64584295 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-11 9,2105 9,2055 2,2359 2,2359 20,59375695 20,58257745 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-12 9,2315 9,2265 2,2436 2,2436 20,7117934 20,7005754 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-13 9,2045 9,1995 2,2345 2,2345 20,56745525 20,55628275 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-16 9,2145 9,2095 2,2389 2,2389 20,63034405 20,61914955 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-17 9,2325 9,2275 2,2375 2,2375 20,65771875 20,64653125 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-18 9,2095 9,2045 2,2519 2,2519 20,73887305 20,72761355 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-19 9,1905 9,1855 2,2668 2,2668 20,8330254 20,8216914 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-20 9,1955 9,1905 2,2717 2,2717 20,88941735 20,87805885 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-23 9,1805 9,1755 2,2809 2,2809 20,93980245 20,92839795 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-24 9,1815 9,1765 2,2862 2,2862 20,9907453 20,9793143 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-25 9,1785 9,1735 2,2925 2,2925 21,04171125 21,03024875 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-26 9,1945 9,1895 2,3084 2,3084 21,2245838 21,2130418 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-27 9,1955 9,1905 2,3093 2,3093 21,23516815 21,22362165 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-05-31 9,1665 9,1615 2,3196 2,3196 21,2626134 21,2510154 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-01 9,1455 9,1405 2,3267 2,3267 21,27883485 21,26720135 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-02 9,1565 9,1515 2,345 2,345 21,4719925 21,4602675 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-03 9,1315 9,1265 2,3487 2,3487 21,44715405 21,43541055 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-07 9,1455 9,1405 2,3484 2,3484 21,4772922 21,4655502 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-08 9,1455 9,1405 2,3546 2,3546 21,5339943 21,5222213 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-09 9,1965 9,1915 2,3535 2,3535 21,64396275 21,63219525 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-10 9,1975 9,1925 2,377 2,377 21,8624575 21,8505725 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-13 9,2365 9,2315 2,3749 2,3749 21,93576385 21,92388935 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-14 9,2985 9,2935 2,3758 2,3758 22,0913763 22,0794973 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-15 9,2695 9,2645 2,382 2,382 22,079949 22,068039 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-16 9,2695 9,2645 2,3785 2,3785 22,04750575 22,03561325 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-17 9,2695 9,2645 2,3844 2,3844 22,1021958 22,0902738 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-20 9,2255 9,2205 2,3731 2,3731 21,89303405 21,88116855 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-21 9,2725 9,2675 2,386 2,386 22,124185 22,112255 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-22 9,2615 9,2565 2,3949 2,3949 22,18036635 22,16839185 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-23 9,3535 9,3485 2,3989 2,3989 22,43811115 22,42611665 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-27 9,3855 9,3805 2,3597 2,3597 22,14696435 22,13516585 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-28 9,3995 9,3945 2,3746 2,3746 22,3200527 22,3081797 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-29 9,4215 9,4165 2,3835 2,3835 22,45614525 22,44422775 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-06-30 9,4415 9,4365 2,3937 2,3937 22,60011855 22,58815005 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-01 9,4595 9,4545 2,4004 2,4004 22,7065838 22,6945818 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-04 9,4795 9,4745 2,4184 2,4184 22,9252228 22,9131308 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-05 9,4575 9,4525 2,4086 2,4086 22,7793345 22,7672915 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-06 9,4195 9,4145 2,4279 2,4279 22,86960405 22,85746455 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-07 9,3965 9,3915 2,352 2,352 22,100568 22,088808 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-08 9,4175 9,4125 2,4228 2,4228 22,816719 22,804605 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-11 9,4665 9,4615 2,4434 2,4434 23,1304461 23,1182291 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-12 9,4645 9,4595 2,4368 2,4368 23,0630936 23,0509096 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-13 9,3915 9,3865 2,4454 2,4454 22,9659741 22,9537471 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-14 9,3675 9,3625 2,4637 2,4637 23,07870975 23,06639125 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-15 9,4055 9,4005 2,4627 2,4627 23,16292485 23,15061135 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-18 9,3895 9,3845 2,4615 2,4615 23,11225425 23,09994675 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-19 9,4425 9,4375 2,4738 2,4738 23,3588565 23,3464875 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-20 9,4265 9,4215 2,4887 2,4887 23,45973055 23,44728705 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-21 9,4625 9,4575 2,4973 2,4973 23,63070125 23,61821475 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-22 9,4495 9,4445 2,4825 2,4825 23,45838375 23,44597125 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-25 9,4275 9,4225 2,4861 2,4861 23,43770775 23,42527725 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-26 9,4155 9,4105 2,4991 2,4991 23,53027605 23,51778055 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-27 9,4725 9,4675 2,5008 2,5008 23,688828 23,676324 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-28 9,4515 9,4465 2,5139 2,5139 23,76012585 23,74755635 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-07-29 9,3885 9,3835 2,521 2,521 23,6684085 23,6558035 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-01 9,3985 9,3935 2,51 2,51 23,590235 23,577685 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-02 9,3995 9,3945 2,517 2,517 23,6585415 23,6459565 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-03 9,3755 9,3705 2,527 2,527 23,6918885 23,6792535 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-04 9,3735 9,3685 2,517 2,517 23,5930995 23,5805145 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-05 9,3355 9,3305 2,51 2,51 23,432105 23,419555 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-08 9,3335 9,3285 2,517 2,517 23,4924195 23,4798345 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-09 9,3455 9,3405 2,511 2,511 23,4665505 23,4539955 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-10 9,3535 9,3485 2,547 2,547 23,8233645 23,8106295 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-11 9,3365 9,3315 2,549 2,549 23,7987385 23,7859935 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-12 9,3025 9,2975 2,55 2,55 23,721375 23,708625 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-15 9,3065 9,3015 2,551 2,551 23,7408815 23,7281265 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-16 9,2995 9,2945 2,552 2,552 23,732324 23,719564 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-17 9,3405 9,3355 2,525 2,525 23,5847625 23,5721375 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-18 9,3365 9,3315 2,522 2,522 23,546653 23,534043 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-19 9,3395 9,3345 2,538 2,538 23,703651 23,690961 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-22 9,3655 9,3605 2,546 2,546 23,844563 23,831833 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-23 9,3715 9,3665 2,535 2,535 23,7567525 23,7440775 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-24 9,3365 9,3315 2,522 2,522 23,546653 23,534043 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-25 9,3335 9,3285 2,508 2,508 23,408418 23,395878 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-26 9,3415 9,3365 2,516 2,516 23,503214 23,490634 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-30 9,3285 9,3235 2,504 2,504 23,358564 23,346044 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-08-31 9,3585 9,3535 2,513 2,513 23,5179105 23,5053455 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-01 9,3365 9,3315 2,545 2,545 23,7613925 23,7486675 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-02 9,3025 9,2975 2,54 2,54 23,62835 23,61565 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-05 9,2845 9,2795 2,551 2,551 23,6847595 23,6720045 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-06 9,3225 9,3175 2,563 2,563 23,8935675 23,8807525 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-07 9,3075 9,3025 2,576 2,576 23,97612 23,96324 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-08 9,3255 9,3205 2,574 2,574 24,003837 23,990967 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-09 9,3445 9,3395 2,58 2,58 24,10881 24,09591 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-12 9,3015 9,2965 2,587 2,587 24,0629805 24,0500455 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-13 9,3015 9,2965 2,568 2,568 23,886252 23,873412 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-14 9,3365 9,3315 2,573 2,573 24,0228145 24,0099495 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-15 9,3425 9,3375 2,582 2,582 24,122335 24,109425 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-16 9,3465 9,3415 2,593 2,593 24,2354745 24,2225095 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-19 9,3355 9,3305 2,591 2,591 24,1882805 24,1753255 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-20 9,3395 9,3345 2,598 2,598 24,264021 24,251031 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-21 9,3405 9,3355 2,579 2,579 24,0891495 24,0762545 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-22 9,3405 9,3355 2,561 2,561 23,9210205 23,9082155 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-23 9,3695 9,3645 2,577 2,577 24,1452015 24,1323165 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-26 9,3815 9,3765 2,608 2,608 24,466952 24,453912 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-27 9,3885 9,3835 2,607 2,607 24,4758195 24,4627845 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-28 9,3935 9,3885 2,627 2,627 24,6767245 24,6635895 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-29 9,3845 9,3795 2,629 2,629 24,6718505 24,6587055 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-09-30 9,3435 9,3385 2,632 2,632 24,592092 24,578932 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-03 9,3025 9,2975 2,641 2,641 24,5679025 24,5546975 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-04 9,3185 9,3135 2,658 2,658 24,768573 24,755283 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-05 9,3105 9,3055 2,649 2,649 24,6635145 24,6502695 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-06 9,3015 9,2965 2,618 2,618 24,351327 24,338237 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-07 9,3385 9,3335 2,608 2,608 24,354808 24,341768 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-10 9,3465 9,3415 2,627 2,627 24,5532555 24,5401205 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-11 9,3395 9,3345 2,623 2,623 24,4975085 24,4843935 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-12 9,3375 9,3325 2,616 2,616 24,4269 24,41382 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-13 9,3815 9,3765 2,575 2,575 24,1573625 24,1444875 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-14 9,4135 9,4085 2,565 2,565 24,1456275 24,1328025 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-17 9,4575 9,4525 2,569 2,569 24,2963175 24,2834725 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-18 9,4625 9,4575 2,575 2,575 24,3659375 24,3530625 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-19 9,4605 9,4555 2,512 2,512 23,764776 23,752216 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-20 9,4935 9,4885 2,537 2,537 24,0850095 24,0723245 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-21 9,4915 9,4865 2,504 2,504 23,766716 23,754196 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-24 9,5455 9,5405 2,523 2,523 24,0832965 24,0706815 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-25 9,5465 9,5415 2,538 2,538 24,229017 24,216327 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-26 9,4975 9,4925 2,551 2,551 24,2281225 24,2153675 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-27 9,5355 9,5305 2,514 2,514 23,972247 23,959677 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-28 9,5135 9,5085 2,494 2,494 23,726669 23,714199 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-10-31 9,5495 9,5445 2,521 2,521 24,0742895 24,0616845 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-01 9,5495 9,5445 2,571 2,571 24,5517645 24,5389095 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-02 9,5855 9,5805 2,562 2,562 24,558051 24,545241 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-03 9,6515 9,6465 2,586 2,586 24,958779 24,945849 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-04 9,5875 9,5825 2,609 2,609 25,0137875 25,0007425 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-07 9,6075 9,6025 2,595 2,595 24,9314625 24,9184875 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-08 9,5685 9,5635 2,615 2,615 25,0216275 25,0085525 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-09 9,5575 9,5525 2,61 2,61 24,945075 24,932025 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-10 9,6105 9,6055 2,61 2,61 25,083405 25,070355 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-11 9,6365 9,6315 2,621 2,621 25,2572665 25,2441615 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-14 9,5505 9,5455 2,627 2,627 25,0891635 25,0760285 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-15 9,5805 9,5755 2,617 2,617 25,0721685 25,0590835 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-16 9,6235 9,6185 2,597 2,597 24,9922295 24,9792445 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-17 9,6355 9,6305 2,622 2,622 25,264281 25,251171 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-18 9,6085 9,6035 2,639 2,639 25,3568315 25,3436365 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-21 9,5915 9,5865 2,63 2,63 25,225645 25,212495 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-22 9,5585 9,5535 2,64 2,64 25,23444 25,22124 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-23 9,5155 9,5105 2,649 2,649 25,2065595 25,1933145 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-24 9,5125 9,5075 2,647 2,647 25,1795875 25,1663525 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-25 9,4965 9,4915 2,653 2,653 25,1942145 25,1809495 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-28 9,4835 9,4785 2,673 2,673 25,3493955 25,3360305 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-29 9,4785 9,4735 2,644 2,644 25,061154 25,047934 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-11-30 9,5295 9,5245 2,639 2,639 25,1483505 25,1351555 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-01 9,5165 9,5115 2,657 2,657 25,2853405 25,2720555 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-02 9,4905 9,4855 2,686 2,686 25,491483 25,478053 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-05 9,4065 9,4015 2,697 2,697 25,3693305 25,3558455 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-06 9,4185 9,4135 2,705 2,705 25,4770425 25,4635175 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-07 9,4255 9,4205 2,712 2,712 25,561956 25,548396 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-08 9,3965 9,3915 2,69 2,69 25,276585 25,263135 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-12 9,4315 9,4265 2,709 2,709 25,5499335 25,5363885 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-13 9,4295 9,4245 2,697 2,697 25,4313615 25,4178765 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-14 9,4365 9,4315 2,697 2,697 25,4502405 25,4367555 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-15 9,4345 9,4295 2,687 2,687 25,3505015 25,3370665 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-16 9,4765 9,4715 2,706 2,706 25,643409 25,629879 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-19 9,4535 9,4485 2,71 2,71 25,618985 25,605435 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-20 9,4015 9,3965 2,712 2,712 25,496868 25,483308 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-21 9,4485 9,4435 2,725 2,725 25,7471625 25,7335375 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-22 9,4365 9,4315 2,724 2,724 25,705026 25,691406 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-23 9,4425 9,4375 2,728 2,728 25,75914 25,7455 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-28 9,4345 9,4295 2,741 2,741 25,8599645 25,8462595 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-29 9,4115 9,4065 2,748 2,748 25,862802 25,849062 886374 Insight Investment Funds Management Limited Insight Investment European Discretionary Fund EUR 2005-12-30 9,4325 9,4275 2,724 2,724 25,69413 25,68051 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-04 12,8005 12,7855 1,0878 1,0878 13,9243839 13,9080669 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-05 12,8355 12,8205 1,0802 1,0802 13,8649071 13,8487041 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-07 12,8955 12,8805 1,0812 1,0812 13,9426146 13,9263966 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-10 13,03576 13,02076 1,0744 1,0744 14,005620544 13,989504544 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-11 13,03576 13,02076 1,0726 1,0726 13,982156176 13,966067176 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-12 12,9275 12,9125 1,07 1,07 13,832425 13,816375 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-13 12,9275 12,9125 1,0681 1,0681 13,80786275 13,79184125 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-14 12,9175 12,9025 1,0721 1,0721 13,84885175 13,83277025 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-17 12,9455 12,9305 1,0785 1,0785 13,96172175 13,94554425 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-18 12,9175 12,9025 1,0692 1,0692 13,811391 13,795353 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-19 12,9275 12,9125 1,0718 1,0718 13,8556945 13,8396175 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-20 12,9955 12,9805 1,0611 1,0611 13,78952505 13,77360855 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-21 13,0555 13,0405 1,0659 1,0659 13,91585745 13,89986895 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-24 13,0525 13,0375 1,0634 1,0634 13,8800285 13,8640775 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-25 13,0575 13,0425 1,068 1,068 13,94541 13,92939 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-26 13,0755 13,0605 1,0666 1,0666 13,9463283 13,9303293 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-27 13,0475 13,0325 1,0673 1,0673 13,92559675 13,90958725 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-28 13,1705 13,1555 1,0693 1,0693 14,08321565 14,06717615 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-01-31 13,1875 13,1725 1,0716 1,0716 14,131725 14,115651 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-01 13,1555 13,1405 1,0762 1,0762 14,1579491 14,1418061 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-02 13,1025 13,0875 1,0856 1,0856 14,224074 14,20779 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-03 13,1225 13,1075 1,0797 1,0797 14,16836325 14,15216775 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-04 13,1855 13,1705 1,0825 1,0825 14,27330375 14,25706625 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-07 13,2305 13,2155 1,0893 1,0893 14,41198365 14,39564415 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-08 13,2175 13,2025 1,0899 1,0899 14,40575325 14,38940475 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-09 13,1775 13,1625 1,0871 1,0871 14,32526025 14,30895375 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-10 13,1855 13,1705 1,0908 1,0908 14,3827434 14,3663814 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-11 13,2155 13,2005 1,0975 1,0975 14,50401125 14,48754875 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-14 13,2175 13,2025 1,0986 1,0986 14,5207455 14,5042665 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-15 13,2175 13,2025 1,1048 1,1048 14,602694 14,586122 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-16 13,1905 13,1755 1,1046 1,1046 14,5702263 14,5536573 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-17 13,1605 13,1455 1,1086 1,1086 14,5897303 14,5731013 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-18 13,2005 13,1855 1,1047 1,1047 14,58259235 14,56602185 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-21 13,2475 13,2325 1,1012 1,1012 14,588147 14,571629 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-22 13,1575 13,1425 1,094 1,094 14,394305 14,377895 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-23 13,1405 13,1255 1,0885 1,0885 14,30343425 14,28710675 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-24 13,0725 13,0575 1,0993 1,0993 14,37059925 14,35410975 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-25 13,1575 13,1425 1,1004 1,1004 14,478513 14,462007 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-02-28 13,1325 13,1175 1,1077 1,1077 14,54687025 14,53025475 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-01 13,1855 13,1705 1,108 1,108 14,609534 14,592914 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-02 13,2105 13,1955 1,1076 1,1076 14,6319498 14,6153358 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-03 13,1875 13,1725 1,1112 1,1112 14,65395 14,637282 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-04 13,1505 13,1355 1,1131 1,1131 14,63782155 14,62112505 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-07 13,1305 13,1155 1,1266 1,1266 14,7928213 14,7759223 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-08 13,0925 13,0775 1,1222 1,1222 14,6924035 14,6755705 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-09 13,0505 13,0355 1,132 1,132 14,773166 14,756186 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-10 13,0175 13,0025 1,1192 1,1192 14,569186 14,552398 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-11 12,9975 12,9825 1,1268 1,1268 14,645583 14,628681 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-14 12,9805 12,9655 1,1218 1,1218 14,5615249 14,5446979 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-15 13,0475 13,0325 1,1243 1,1243 14,66930425 14,65243975 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-16 13,0825 13,0675 1,1197 1,1197 14,64847525 14,63167975 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-17 13,0825 13,0675 1,1074 1,1074 14,4875605 14,4709495 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-18 13,0955 13,0805 1,1092 1,1092 14,5255286 14,5088906 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-21 13,1805 13,1655 1,1085 1,1085 14,61058425 14,59395675 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-22 13,1605 13,1455 1,0987 1,0987 14,45944135 14,44296085 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-23 13,1455 13,1305 1,0994 1,0994 14,4521627 14,4356717 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-24 13,1205 13,1055 1,1075 1,1075 14,53095375 14,51434125 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-29 13,2125 13,1975 1,0979 1,0979 14,50600375 14,48953525 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-30 13,2575 13,2425 1,0949 1,0949 14,51563675 14,49921325 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-03-31 13,2725 13,2575 1,1101 1,1101 14,73380225 14,71715075 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-01 13,3525 13,3375 1,0994 1,0994 14,6797385 14,6632475 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-04 13,3575 13,3425 1,0963 1,0963 14,64382725 14,62738275 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-05 13,4255 13,4105 1,098 1,098 14,741199 14,724729 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-06 13,4155 13,4005 1,1076 1,1076 14,8590078 14,8423938 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-07 13,3375 13,3225 1,1141 1,1141 14,85930875 14,84259725 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-08 13,3655 13,3505 1,1191 1,1191 14,95733105 14,94054455 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-11 13,3755 13,3605 1,1136 1,1136 14,8949568 14,8782528 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-12 13,3375 13,3225 1,1119 1,1119 14,82996625 14,81328775 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-13 13,3955 13,3805 1,1104 1,1104 14,8743632 14,8577072 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-14 13,4505 13,4355 1,1016 1,1016 14,8170708 14,8005468 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-15 13,4925 13,4775 1,0861 1,0861 14,65420425 14,63791275 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-18 13,4225 13,4075 1,063 1,063 14,2681175 14,2521725 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-19 13,4855 13,4705 1,0652 1,0652 14,3647546 14,3487766 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-20 13,5005 13,4855 1,07 1,07 14,445535 14,429485 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-21 13,4575 13,4425 1,071 1,071 14,4129825 14,3969175 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-22 13,4125 13,3975 1,0729 1,0729 14,39027125 14,37417775 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-25 13,4775 13,4625 1,0643 1,0643 14,34410325 14,32813875 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-26 13,4225 13,4075 1,07 1,07 14,362075 14,346025 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-27 13,4605 13,4455 1,0585 1,0585 14,24793925 14,23206175 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-28 13,4755 13,4605 1,0517 1,0517 14,17218335 14,15640785 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-04-29 13,5405 13,5255 1,0524 1,0524 14,2500222 14,2342362 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-03 13,5955 13,5805 1,0649 1,0649 14,47784795 14,46187445 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-04 13,4925 13,4775 1,0659 1,0659 14,38165575 14,36566725 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-06 13,4375 13,4225 1,0764 1,0764 14,464125 14,447979 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-09 13,5205 13,5055 1,077 1,077 14,5615785 14,5454235 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-10 13,4755 13,4605 1,0786 1,0786 14,5346743 14,5184953 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-11 13,4805 13,4655 1,0769 1,0769 14,51715045 14,50099695 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-12 13,4955 13,4805 1,0792 1,0792 14,5643436 14,5481556 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-13 13,5205 13,5055 1,0706 1,0706 14,4750473 14,4589883 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-16 13,4775 13,4625 1,0809 1,0809 14,56782975 14,55161625 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-17 13,4375 13,4225 1,0809 1,0809 14,52459375 14,50838025 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-18 13,3805 13,3655 1,0923 1,0923 14,61552015 14,59913565 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-19 13,3505 13,3355 1,0974 1,0974 14,6508387 14,6343777 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-20 13,3655 13,3505 1,1 1,1 14,70205 14,68555 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-23 13,3775 13,3625 1,1021 1,1021 14,74334275 14,72681125 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-24 13,3605 13,3455 1,1053 1,1053 14,76736065 14,75078115 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-25 13,3405 13,3255 1,1091 1,1091 14,79594855 14,77931205 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-26 13,3655 13,3505 1,1159 1,1159 14,91456145 14,89782295 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-27 13,3855 13,3705 1,117 1,117 14,9516035 14,9348485 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-05-31 13,4475 13,4325 1,1062 1,1062 14,8756245 14,8590315 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-01 13,5155 13,5005 1,1043 1,1043 14,92516665 14,90860215 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-02 13,5755 13,5605 1,1142 1,1142 15,1258221 15,1091091 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-03 13,5255 13,5105 1,1159 1,1159 15,09310545 15,07636695 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-07 13,6225 13,6075 1,1083 1,1083 15,09781675 15,08119225 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-08 13,6505 13,6355 1,1119 1,1119 15,17799095 15,16131245 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-09 13,7225 13,7075 1,1107 1,1107 15,24158075 15,22492025 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-10 13,6925 13,6775 1,1217 1,1217 15,35887725 15,34205175 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-13 13,8305 13,8155 1,1182 1,1182 15,4652651 15,4484921 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-14 13,8625 13,8475 1,1206 1,1206 15,5343175 15,5175085 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-15 13,9175 13,9025 1,117 1,117 15,5458475 15,5290925 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-16 13,9605 13,9455 1,1146 1,1146 15,5603733 15,5436543 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-17 13,9355 13,9205 1,1206 1,1206 15,6161213 15,5993123 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-20 13,7705 13,7555 1,1187 1,1187 15,40505835 15,38827785 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-21 13,9325 13,9175 1,1172 1,1172 15,565389 15,548631 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-22 13,9175 13,9025 1,1237 1,1237 15,63909475 15,62223925 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-23 14,0705 14,0555 1,123 1,123 15,8011715 15,7843265 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-27 14,1125 14,0975 1,1059 1,1059 15,60701375 15,59042525 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-28 14,1355 14,1205 1,1126 1,1126 15,7271573 15,7104683 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-29 14,2175 14,2025 1,121 1,121 15,9378175 15,9210025 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-06-30 14,1205 14,1055 1,1355 1,1355 16,03382775 16,01679525 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-01 13,9625 13,9475 1,1502 1,1502 16,0596675 16,0424145 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-04 14,0055 13,9905 1,1557 1,1557 16,18615635 16,16882085 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-05 13,9575 13,9425 1,1519 1,1519 16,07764425 16,06036575 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-06 13,8755 13,8605 1,1616 1,1616 16,1177808 16,1003568 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-07 13,7955 13,7805 1,1392 1,1392 15,7158336 15,6987456 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-08 13,7455 13,7305 1,1737 1,1737 16,13309335 16,11548785 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-11 13,7425 13,7275 1,1859 1,1859 16,29723075 16,27944225 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-12 13,7325 13,7175 1,1837 1,1837 16,25516025 16,23740475 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-13 13,6455 13,6305 1,1892 1,1892 16,2272286 16,2093906 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-14 13,6705 13,6555 1,1909 1,1909 16,28019845 16,26233495 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-15 13,6805 13,6655 1,1919 1,1919 16,30578795 16,28790945 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-18 13,6225 13,6075 1,1976 1,1976 16,314306 16,296342 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-19 13,7025 13,6875 1,1991 1,1991 16,43066775 16,41268125 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-20 13,5825 13,5675 1,2165 1,2165 16,52311125 16,50486375 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-21 13,5825 13,5675 1,2224 1,2224 16,603248 16,584912 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-22 13,6105 13,5955 1,2162 1,2162 16,5530901 16,5348471 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-25 13,5875 13,5725 1,217 1,217 16,5359875 16,5177325 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-26 13,6305 13,6155 1,2167 1,2167 16,58422935 16,56597885 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-27 13,7055 13,6905 1,2169 1,2169 16,67822295 16,65996945 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-28 13,6655 13,6505 1,2262 1,2262 16,7566361 16,7382431 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-07-29 13,5975 13,5825 1,2233 1,2233 16,63382175 16,61547225 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-01 13,6055 13,5905 1,2229 1,2229 16,63816595 16,61982245 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-02 13,6355 13,6205 1,224 1,224 16,689852 16,671492 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-03 13,6005 13,5855 1,2323 1,2323 16,75989615 16,74141165 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-04 13,5175 13,5025 1,2306 1,2306 16,6346355 16,6161765 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-05 13,4275 13,4125 1,229 1,229 16,5023975 16,4839625 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-08 13,4375 13,4225 1,2264 1,2264 16,47975 16,461354 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-09 13,4755 13,4605 1,226 1,226 16,520963 16,502573 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-10 13,5305 13,5155 1,2383 1,2383 16,75481815 16,73624365 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-11 13,5455 13,5305 1,2351 1,2351 16,73004705 16,71152055 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-12 13,5225 13,5075 1,2322 1,2322 16,6624245 16,6439415 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-15 13,6175 13,6025 1,2271 1,2271 16,71003425 16,69162775 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-16 13,6355 13,6205 1,2241 1,2241 16,69121555 16,67285405 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-17 13,7125 13,6975 1,2074 1,2074 16,5564725 16,5383615 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-18 13,7405 13,7255 1,2027 1,2027 16,52569935 16,50765885 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-19 13,7775 13,7625 1,2109 1,2109 16,68317475 16,66501125 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-22 13,8405 13,8255 1,2176 1,2176 16,8521928 16,8339288 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-23 13,7805 13,7655 1,2147 1,2147 16,73917335 16,72095285 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-24 13,7555 13,7405 1,2087 1,2087 16,62627285 16,60814235 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-25 13,7055 13,6905 1,2047 1,2047 16,51101585 16,49294535 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-26 13,6875 13,6725 1,2086 1,2086 16,5427125 16,5245835 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-30 13,6825 13,6675 1,2037 1,2037 16,46962525 16,45156975 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-08-31 13,6805 13,6655 1,2096 1,2096 16,5479328 16,5297888 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-01 13,6375 13,6225 1,2262 1,2262 16,7223025 16,7039095 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-02 13,6475 13,6325 1,2201 1,2201 16,65131475 16,63301325 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-05 13,6855 13,6705 1,2167 1,2167 16,65114785 16,63289735 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-06 13,7625 13,7475 1,219 1,219 16,7764875 16,7582025 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-07 13,7105 13,6955 1,2279 1,2279 16,83512295 16,81670445 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-08 13,7855 13,7705 1,2229 1,2229 16,85828795 16,83994445 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-09 13,8275 13,8125 1,2279 1,2279 16,97878725 16,96036875 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-12 13,8055 13,7905 1,2253 1,2253 16,91587915 16,89749965 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-13 13,7805 13,7655 1,2155 1,2155 16,75019775 16,73196525 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-14 13,8805 13,8655 1,218 1,218 16,906449 16,888179 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-15 13,8955 13,8805 1,2275 1,2275 17,05672625 17,03831375 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-16 13,7905 13,7755 1,2335 1,2335 17,01058175 16,99207925 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-19 13,8555 13,8405 1,227 1,227 17,0006985 16,9822935 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-20 13,8775 13,8625 1,2316 1,2316 17,091529 17,073055 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-21 13,8375 13,8225 1,2239 1,2239 16,93571625 16,91735775 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-22 13,8355 13,8205 1,2201 1,2201 16,88069355 16,86239205 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-23 13,8055 13,7905 1,2278 1,2278 16,9503929 16,9319759 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-26 13,8325 13,8175 1,2453 1,2453 17,22561225 17,20693275 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-27 13,8205 13,8055 1,2477 1,2477 17,24383785 17,22512235 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-28 13,8275 13,8125 1,2587 1,2587 17,40467425 17,38579375 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-29 13,7475 13,7325 1,2625 1,2625 17,35621875 17,33728125 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-09-30 13,6775 13,6625 1,2625 1,2625 17,26784375 17,24890625 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-03 13,6775 13,6625 1,2657 1,2657 17,31161175 17,29262625 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-04 13,7375 13,7225 1,2681 1,2681 17,42052375 17,40150225 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-05 13,7405 13,7255 1,2611 1,2611 17,32814455 17,30922805 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-06 13,6705 13,6555 1,2475 1,2475 17,05394875 17,03523625 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-07 13,5955 13,5805 1,2579 1,2579 17,10177945 17,08291095 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-10 13,5675 13,5525 1,2699 1,2699 17,22936825 17,21031975 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-11 13,5855 13,5705 1,2663 1,2663 17,20331865 17,18432415 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-12 13,5955 13,5805 1,2604 1,2604 17,1357682 17,1168622 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-13 13,6675 13,6525 1,2404 1,2404 16,953167 16,934561 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-14 13,7555 13,7405 1,2345 1,2345 16,98116475 16,96264725 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-17 13,8475 13,8325 1,2364 1,2364 17,121049 17,102503 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-18 13,8225 13,8075 1,2387 1,2387 17,12193075 17,10335025 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-19 13,8975 13,8825 1,2018 1,2018 16,7020155 16,6839885 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-20 13,9905 13,9755 1,2078 1,2078 16,8977259 16,8796089 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-21 14,0025 13,9875 1,1934 1,1934 16,7105835 16,6926825 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-24 14,1375 14,1225 1,2019 1,2019 16,99186125 16,97383275 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-25 14,1225 14,1075 1,2085 1,2085 17,06704125 17,04891375 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-26 13,9955 13,9805 1,2155 1,2155 17,01153025 16,99329775 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-27 14,0405 14,0255 1,2042 1,2042 16,9075701 16,8895071 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-28 13,9655 13,9505 1,1964 1,1964 16,7083242 16,6903782 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-10-31 14,0725 14,0575 1,2104 1,2104 17,033354 17,015198 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-01 14,1055 14,0905 1,2263 1,2263 17,29757465 17,27918015 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-02 14,0775 14,0625 1,227 1,227 17,2730925 17,2546875 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-03 14,2125 14,1975 1,2402 1,2402 17,6263425 17,6077395 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-04 14,1905 14,1755 1,2413 1,2413 17,61466765 17,59604815 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-07 14,2275 14,2125 1,2349 1,2349 17,56953975 17,55101625 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-08 14,1725 14,1575 1,2457 1,2457 17,65468325 17,63599775 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-09 14,1525 14,1375 1,2422 1,2422 17,5802355 17,5616025 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-10 14,2425 14,2275 1,2393 1,2393 17,65073025 17,63214075 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-11 14,3475 14,3325 1,2429 1,2429 17,83250775 17,81386425 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-14 14,1905 14,1755 1,2473 1,2473 17,69981065 17,68110115 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-15 14,2325 14,2175 1,2443 1,2443 17,70949975 17,69083525 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-16 14,2475 14,2325 1,2415 1,2415 17,68827125 17,66964875 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-17 14,1855 14,1705 1,2595 1,2595 17,86663725 17,84774475 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-18 14,0775 14,0625 1,2721 1,2721 17,90798775 17,88890625 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-21 13,9755 13,9605 1,2781 1,2781 17,86208655 17,84291505 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-22 13,9775 13,9625 1,278 1,278 17,863245 17,844075 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-23 13,8705 13,8555 1,2834 1,2834 17,8013997 17,7821487 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-24 13,8725 13,8575 1,2817 1,2817 17,78038325 17,76115775 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-25 13,8775 13,8625 1,2842 1,2842 17,8214855 17,8022225 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-28 13,8505 13,8355 1,2956 1,2956 17,9447078 17,9252738 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-29 13,8325 13,8175 1,2817 1,2817 17,72911525 17,70988975 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-11-30 13,9255 13,9105 1,27 1,27 17,685385 17,666335 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-01 13,9955 13,9805 1,2804 1,2804 17,9198382 17,9006322 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-02 14,0055 13,9905 1,2883 1,2883 18,04328565 18,02396115 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-05 13,9175 13,9025 1,2919 1,2919 17,98001825 17,96063975 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-06 13,9455 13,9305 1,3011 1,3011 18,14449005 18,12497355 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-07 13,9105 13,8955 1,2983 1,2983 18,06000215 18,04052765 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-08 13,8955 13,8805 1,2843 1,2843 17,84599065 17,82672615 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-12 14,0125 13,9975 1,2918 1,2918 18,1013475 18,0819705 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-13 14,0075 13,9925 1,2853 1,2853 18,00383975 17,98456025 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-14 13,9555 13,9405 1,2955 1,2955 18,07935025 18,05991775 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-15 13,9105 13,8955 1,2892 1,2892 17,9334166 17,9140786 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-16 13,9755 13,9605 1,2978 1,2978 18,1374039 18,1179369 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-19 13,9125 13,8975 1,3037 1,3037 18,13772625 18,11817075 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-20 13,8225 13,8075 1,2996 1,2996 17,963721 17,944227 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-21 13,9605 13,9455 1,308 1,308 18,260334 18,240714 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-22 13,8975 13,8825 1,3118 1,3118 18,2307405 18,2110635 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-23 13,8255 13,8105 1,3179 1,3179 18,22062645 18,20085795 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-28 13,7705 13,7555 1,331 1,331 18,3285355 18,3085705 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-29 13,6655 13,6505 1,3383 1,3383 18,28853865 18,26846415 201350 Insight Investment Funds Management Limited Insight Investment European Equity Fund GBP 2005-12-30 13,7405 13,7255 1,3256 1,3256 18,2144068 18,1945228 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-04 12,8005 12,7855 0,3233 0,3233 4,13840165 4,13355215 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-05 12,8355 12,8205 0,3204 0,3204 4,1124942 4,1076882 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-07 12,8955 12,8805 0,3201 0,3201 4,12784955 4,12304805 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-10 13,03576 13,02076 0,3209 0,3209 4,183175384 4,178361884 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-11 13,03576 13,02076 0,3255 0,3255 4,24313988 4,23825738 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-12 12,9275 12,9125 0,3248 0,3248 4,198852 4,19398 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-13 12,9275 12,9125 0,3232 0,3232 4,178168 4,17332 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-14 12,9175 12,9025 0,328 0,328 4,23694 4,23202 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-17 12,9455 12,9305 0,332 0,332 4,297906 4,292926 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-18 12,9175 12,9025 0,326 0,326 4,211105 4,206215 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-19 12,9275 12,9125 0,3251 0,3251 4,20273025 4,19785375 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-20 12,9955 12,9805 0,3227 0,3227 4,19364785 4,18880735 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-21 13,0555 13,0405 0,3207 0,3207 4,18689885 4,18208835 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-24 13,0525 13,0375 0,3225 0,3225 4,20943125 4,20459375 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-25 13,0575 13,0425 0,3203 0,3203 4,18231725 4,17751275 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-26 13,0755 13,0605 0,3218 0,3218 4,2076959 4,2028689 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-27 13,0475 13,0325 0,3206 0,3206 4,1830285 4,1782195 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-28 13,1705 13,1555 0,3192 0,3192 4,2040236 4,1992356 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-01-31 13,1875 13,1725 0,32 0,32 4,22 4,2152 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-01 13,1555 13,1405 0,3186 0,3186 4,1913423 4,1865633 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-02 13,1025 13,0875 0,32 0,32 4,1928 4,188 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-03 13,1225 13,1075 0,3177 0,3177 4,16901825 4,16425275 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-04 13,1855 13,1705 0,3181 0,3181 4,19430755 4,18953605 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-07 13,2305 13,2155 0,3221 0,3221 4,26154405 4,25671255 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-08 13,2175 13,2025 0,3218 0,3218 4,2533915 4,2485645 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-09 13,1775 13,1625 0,3217 0,3217 4,23920175 4,23437625 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-10 13,1855 13,1705 0,3221 0,3221 4,24704955 4,24221805 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-11 13,2155 13,2005 0,3219 0,3219 4,25406945 4,24924095 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-14 13,2175 13,2025 0,3241 0,3241 4,28379175 4,27893025 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-15 13,2175 13,2025 0,3241 0,3241 4,28379175 4,27893025 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-16 13,1905 13,1755 0,3233 0,3233 4,26448865 4,25963915 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-17 13,1605 13,1455 0,3201 0,3201 4,21267605 4,20787455 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-18 13,2005 13,1855 0,3211 0,3211 4,23868055 4,23386405 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-21 13,2475 13,2325 0,3206 0,3206 4,2471485 4,2423395 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-22 13,1575 13,1425 0,3212 0,3212 4,226189 4,221371 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-23 13,1405 13,1255 0,3166 0,3166 4,1602823 4,1555333 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-24 13,0725 13,0575 0,3175 0,3175 4,15051875 4,14575625 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-25 13,1575 13,1425 0,3188 0,3188 4,194611 4,189829 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-02-28 13,1325 13,1175 0,3226 0,3226 4,2365445 4,2317055 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-01 13,1855 13,1705 0,323 0,323 4,2589165 4,2540715 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-02 13,2105 13,1955 0,3248 0,3248 4,2907704 4,2858984 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-03 13,1875 13,1725 0,3259 0,3259 4,29780625 4,29291775 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-04 13,1505 13,1355 0,3254 0,3254 4,2791727 4,2742917 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-07 13,1305 13,1155 0,3269 0,3269 4,29236045 4,28745695 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-08 13,0925 13,0775 0,3249 0,3249 4,25375325 4,24887975 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-09 13,0505 13,0355 0,3291 0,3291 4,29491955 4,28998305 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-10 13,0175 13,0025 0,3265 0,3265 4,25021375 4,24531625 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-11 12,9975 12,9825 0,3294 0,3294 4,2813765 4,2764355 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-14 12,9805 12,9655 0,3259 0,3259 4,23034495 4,22545645 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-15 13,0475 13,0325 0,3262 0,3262 4,2560945 4,2512015 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-16 13,0825 13,0675 0,3275 0,3275 4,28451875 4,27960625 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-17 13,0825 13,0675 0,3254 0,3254 4,2570455 4,2521645 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-18 13,0955 13,0805 0,3279 0,3279 4,29401445 4,28909595 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-21 13,1805 13,1655 0,3287 0,3287 4,33243035 4,32749985 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-22 13,1605 13,1455 0,3308 0,3308 4,3534934 4,3485314 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-23 13,1455 13,1305 0,3292 0,3292 4,3274986 4,3225606 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-24 13,1205 13,1055 0,3273 0,3273 4,29433965 4,28943015 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-29 13,2125 13,1975 0,3225 0,3225 4,26103125 4,25619375 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-30 13,2575 13,2425 0,3182 0,3182 4,2185365 4,2137635 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-03-31 13,2725 13,2575 0,3233 0,3233 4,29099925 4,28614975 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-01 13,3525 13,3375 0,3228 0,3228 4,310187 4,305345 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-04 13,3575 13,3425 0,3219 0,3219 4,29977925 4,29495075 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-05 13,4255 13,4105 0,3219 0,3219 4,32166845 4,31683995 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-06 13,4155 13,4005 0,3232 0,3232 4,3358896 4,3310416 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-07 13,3375 13,3225 0,3247 0,3247 4,33068625 4,32581575 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-08 13,3655 13,3505 0,3268 0,3268 4,3678454 4,3629434 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-11 13,3755 13,3605 0,3226 0,3226 4,3149363 4,3100973 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-12 13,3375 13,3225 0,3194 0,3194 4,2599975 4,2552065 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-13 13,3955 13,3805 0,3203 0,3203 4,29057865 4,28577415 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-14 13,4505 13,4355 0,3171 0,3171 4,26515355 4,26039705 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-15 13,4925 13,4775 0,3124 0,3124 4,215057 4,210371 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-18 13,4225 13,4075 0,3009 0,3009 4,03883025 4,03431675 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-19 13,4855 13,4705 0,3043 0,3043 4,10363765 4,09907315 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-20 13,5005 13,4855 0,3048 0,3048 4,1149524 4,1103804 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-21 13,4575 13,4425 0,3028 0,3028 4,074931 4,070389 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-22 13,4125 13,3975 0,3064 0,3064 4,10959 4,104994 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-25 13,4775 13,4625 0,3087 0,3087 4,16050425 4,15587375 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-26 13,4225 13,4075 0,3083 0,3083 4,13815675 4,13353225 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-27 13,4605 13,4455 0,3079 0,3079 4,14448795 4,13986945 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-28 13,4755 13,4605 0,308 0,308 4,150454 4,145834 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-04-29 13,5405 13,5255 0,3089 0,3089 4,18266045 4,17802695 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-03 13,5955 13,5805 0,3136 0,3136 4,2635488 4,2588448 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-04 13,4925 13,4775 0,314 0,314 4,236645 4,231935 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-06 13,4375 13,4225 0,3191 0,3191 4,28790625 4,28311975 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-09 13,5205 13,5055 0,3196 0,3196 4,3211518 4,3163578 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-10 13,4755 13,4605 0,318 0,318 4,285209 4,280439 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-11 13,4805 13,4655 0,3178 0,3178 4,2841029 4,2793359 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-12 13,4955 13,4805 0,3169 0,3169 4,27672395 4,27197045 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-13 13,5205 13,5055 0,3157 0,3157 4,26842185 4,26368635 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-16 13,4775 13,4625 0,3141 0,3141 4,23328275 4,22857125 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-17 13,4375 13,4225 0,3123 0,3123 4,19653125 4,19184675 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-18 13,3805 13,3655 0,313 0,313 4,1880965 4,1834015 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-19 13,3505 13,3355 0,318 0,318 4,245459 4,240689 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-20 13,3655 13,3505 0,3169 0,3169 4,23552695 4,23077345 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-23 13,3775 13,3625 0,3198 0,3198 4,2781245 4,2733275 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-24 13,3605 13,3455 0,3207 0,3207 4,28471235 4,27990185 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-25 13,3405 13,3255 0,3171 0,3171 4,23027255 4,22551605 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-26 13,3655 13,3505 0,3162 0,3162 4,2261711 4,2214281 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-27 13,3855 13,3705 0,3193 0,3193 4,27399015 4,26920065 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-05-31 13,4475 13,4325 0,3224 0,3224 4,335474 4,330638 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-01 13,5155 13,5005 0,3229 0,3229 4,36415495 4,35931145 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-02 13,5755 13,5605 0,3239 0,3239 4,39710445 4,39224595 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-03 13,5255 13,5105 0,3243 0,3243 4,38631965 4,38145515 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-07 13,6225 13,6075 0,3239 0,3239 4,41232775 4,40746925 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-08 13,6505 13,6355 0,3246 0,3246 4,4309523 4,4260833 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-09 13,7225 13,7075 0,3219 0,3219 4,41727275 4,41244425 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-10 13,6925 13,6775 0,3238 0,3238 4,4336315 4,4287745 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-13 13,8305 13,8155 0,3224 0,3224 4,4589532 4,4541172 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-14 13,8625 13,8475 0,322 0,322 4,463725 4,458895 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-15 13,9175 13,9025 0,3245 0,3245 4,51622875 4,51136125 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-16 13,9605 13,9455 0,3229 0,3229 4,50784545 4,50300195 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-17 13,9355 13,9205 0,3258 0,3258 4,5401859 4,5352989 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-20 13,7705 13,7555 0,3254 0,3254 4,4809207 4,4760397 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-21 13,9325 13,9175 0,3248 0,3248 4,525276 4,520404 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-22 13,9175 13,9025 0,3268 0,3268 4,548239 4,543337 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-23 14,0705 14,0555 0,3275 0,3275 4,60808875 4,60317625 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-27 14,1125 14,0975 0,3202 0,3202 4,5188225 4,5140195 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-28 14,1355 14,1205 0,3217 0,3217 4,54739035 4,54256485 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-29 14,2175 14,2025 0,3244 0,3244 4,612157 4,607291 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-06-30 14,1205 14,1055 0,3268 0,3268 4,6145794 4,6096774 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-01 13,9625 13,9475 0,3303 0,3303 4,61181375 4,60685925 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-04 14,0055 13,9905 0,333 0,333 4,6638315 4,6588365 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-05 13,9575 13,9425 0,3323 0,3323 4,63807725 4,63309275 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-06 13,8755 13,8605 0,3323 0,3323 4,61082865 4,60584415 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-07 13,7955 13,7805 0,3338 0,3338 4,6049379 4,5999309 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-08 13,7455 13,7305 0,3328 0,3328 4,5745024 4,5695104 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-11 13,7425 13,7275 0,3335 0,3335 4,58312375 4,57812125 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-12 13,7325 13,7175 0,3319 0,3319 4,55781675 4,55283825 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-13 13,6455 13,6305 0,3312 0,3312 4,5193896 4,5144216 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-14 13,6705 13,6555 0,3328 0,3328 4,5495424 4,5445504 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-15 13,6805 13,6655 0,3336 0,3336 4,5638148 4,5588108 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-18 13,6225 13,6075 0,3349 0,3349 4,56217525 4,55715175 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-19 13,7025 13,6875 0,3338 0,3338 4,5738945 4,5688875 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-20 13,5825 13,5675 0,3346 0,3346 4,5447045 4,5396855 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-21 13,5825 13,5675 0,3342 0,3342 4,5392715 4,5342585 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-22 13,6105 13,5955 0,3353 0,3353 4,56360065 4,55857115 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-25 13,5875 13,5725 0,336 0,336 4,5654 4,56036 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-26 13,6305 13,6155 0,3338 0,3338 4,5498609 4,5448539 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-27 13,7055 13,6905 0,3353 0,3353 4,59545415 4,59042465 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-28 13,6655 13,6505 0,3345 0,3345 4,57110975 4,56609225 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-07-29 13,5975 13,5825 0,3339 0,3339 4,54020525 4,53519675 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-01 13,6055 13,5905 0,3351 0,3351 4,55920305 4,55417655 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-02 13,6355 13,6205 0,3349 0,3349 4,56652895 4,56150545 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-03 13,6005 13,5855 0,3357 0,3357 4,56568785 4,56065235 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-04 13,5175 13,5025 0,3339 0,3339 4,51349325 4,50848475 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-05 13,4275 13,4125 0,329 0,329 4,4176475 4,4127125 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-08 13,4375 13,4225 0,3281 0,3281 4,40884375 4,40392225 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-09 13,4755 13,4605 0,3314 0,3314 4,4657807 4,4608097 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-10 13,5305 13,5155 0,3397 0,3397 4,59631085 4,59121535 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-11 13,5455 13,5305 0,3454 0,3454 4,6786157 4,6734347 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-12 13,5225 13,5075 0,346 0,346 4,678785 4,673595 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-15 13,6175 13,6025 0,3483 0,3483 4,74297525 4,73775075 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-16 13,6355 13,6205 0,3496 0,3496 4,7669708 4,7617268 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-17 13,7125 13,6975 0,3468 0,3468 4,755495 4,750293 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-18 13,7405 13,7255 0,3462 0,3462 4,7569611 4,7517681 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-19 13,7775 13,7625 0,3473 0,3473 4,78492575 4,77971625 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-22 13,8405 13,8255 0,3552 0,3552 4,9161456 4,9108176 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-23 13,7805 13,7655 0,3543 0,3543 4,88243115 4,87711665 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-24 13,7555 13,7405 0,3546 0,3546 4,8777003 4,8723813 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-25 13,7055 13,6905 0,352 0,352 4,824336 4,819056 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-26 13,6875 13,6725 0,3538 0,3538 4,8426375 4,8373305 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-30 13,6825 13,6675 0,3527 0,3527 4,82581775 4,82052725 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-08-31 13,6805 13,6655 0,3514 0,3514 4,8073277 4,8020567 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-01 13,6375 13,6225 0,3522 0,3522 4,8031275 4,7978445 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-02 13,6475 13,6325 0,3508 0,3508 4,787543 4,782281 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-05 13,6855 13,6705 0,3535 0,3535 4,83782425 4,83252175 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-06 13,7625 13,7475 0,3512 0,3512 4,83339 4,828122 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-07 13,7105 13,6955 0,3513 0,3513 4,81649865 4,81122915 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-08 13,7855 13,7705 0,3477 0,3477 4,79321835 4,78800285 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-09 13,8275 13,8125 0,3521 0,3521 4,86866275 4,86338125 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-12 13,8055 13,7905 0,3613 0,3613 4,98792715 4,98250765 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-13 13,7805 13,7655 0,3607 0,3607 4,97062635 4,96521585 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-14 13,8805 13,8655 0,3615 0,3615 5,01780075 5,01237825 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-15 13,8955 13,8805 0,3684 0,3684 5,1191022 5,1135762 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-16 13,7905 13,7755 0,3669 0,3669 5,05973445 5,05423095 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-19 13,8555 13,8405 0,3668 0,3668 5,0821974 5,0766954 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-20 13,8775 13,8625 0,3734 0,3734 5,1818585 5,1762575 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-21 13,8375 13,8225 0,3751 0,3751 5,19044625 5,18481975 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-22 13,8355 13,8205 0,3759 0,3759 5,20076445 5,19512595 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-23 13,8055 13,7905 0,3782 0,3782 5,2212401 5,2155671 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-26 13,8325 13,8175 0,386 0,386 5,339345 5,333555 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-27 13,8205 13,8055 0,3847 0,3847 5,31674635 5,31097585 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-28 13,8275 13,8125 0,3913 0,3913 5,41070075 5,40483125 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-29 13,7475 13,7325 0,3995 0,3995 5,49212625 5,48613375 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-09-30 13,6775 13,6625 0,3936 0,3936 5,383464 5,37756 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-03 13,6775 13,6625 0,395 0,395 5,4026125 5,3966875 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-04 13,7375 13,7225 0,396 0,396 5,44005 5,43411 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-05 13,7405 13,7255 0,3929 0,3929 5,39864245 5,39274895 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-06 13,6705 13,6555 0,3808 0,3808 5,2057264 5,2000144 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-07 13,5955 13,5805 0,3835 0,3835 5,21387425 5,20812175 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-10 13,5675 13,5525 0,3837 0,3837 5,20584975 5,20009425 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-11 13,5855 13,5705 0,3937 0,3937 5,34861135 5,34270585 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-12 13,5955 13,5805 0,3944 0,3944 5,3620652 5,3561492 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-13 13,6675 13,6525 0,393 0,393 5,3713275 5,3654325 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-14 13,7555 13,7405 0,39 0,39 5,364645 5,358795 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-17 13,8475 13,8325 0,3867 0,3867 5,35482825 5,34902775 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-18 13,8225 13,8075 0,3863 0,3863 5,33963175 5,33383725 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-19 13,8975 13,8825 0,3806 0,3806 5,2893885 5,2836795 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-20 13,9905 13,9755 0,3789 0,3789 5,30100045 5,29531695 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-21 14,0025 13,9875 0,3779 0,3779 5,29154475 5,28587625 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-24 14,1375 14,1225 0,3756 0,3756 5,310045 5,304411 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-25 14,1225 14,1075 0,379 0,379 5,3524275 5,3467425 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-26 13,9955 13,9805 0,3823 0,3823 5,35047965 5,34474515 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-27 14,0405 14,0255 0,3854 0,3854 5,4112087 5,4054277 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-28 13,9655 13,9505 0,385 0,385 5,3767175 5,3709425 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-10-31 14,0725 14,0575 0,3893 0,3893 5,47842425 5,47258475 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-01 14,1055 14,0905 0,3977 0,3977 5,60975735 5,60379185 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-02 14,0775 14,0625 0,3975 0,3975 5,59580625 5,58984375 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-03 14,2125 14,1975 0,3949 0,3949 5,61251625 5,60659275 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-04 14,1905 14,1755 0,4022 0,4022 5,7074191 5,7013861 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-07 14,2275 14,2125 0,4072 0,4072 5,793438 5,78733 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-08 14,1725 14,1575 0,4105 0,4105 5,81781125 5,81165375 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-09 14,1525 14,1375 0,4086 0,4086 5,7827115 5,7765825 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-10 14,2425 14,2275 0,4038 0,4038 5,7511215 5,7450645 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-11 14,3475 14,3325 0,407 0,407 5,8394325 5,8333275 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-14 14,1905 14,1755 0,4003 0,4003 5,68045715 5,67445265 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-15 14,2325 14,2175 0,3995 0,3995 5,68588375 5,67989125 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-16 14,2475 14,2325 0,4032 0,4032 5,744592 5,738544 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-17 14,1855 14,1705 0,4142 0,4142 5,8756341 5,8694211 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-18 14,0775 14,0625 0,4196 0,4196 5,906919 5,900625 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-21 13,9755 13,9605 0,4187 0,4187 5,85154185 5,84526135 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-22 13,9775 13,9625 0,4194 0,4194 5,8621635 5,8558725 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-23 13,8705 13,8555 0,4196 0,4196 5,8200618 5,8137678 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-24 13,8725 13,8575 0,4159 0,4159 5,76957275 5,76333425 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-25 13,8775 13,8625 0,4181 0,4181 5,80218275 5,79591125 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-28 13,8505 13,8355 0,423 0,423 5,8587615 5,8524165 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-29 13,8325 13,8175 0,4206 0,4206 5,8179495 5,8116405 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-11-30 13,9255 13,9105 0,4175 0,4175 5,81389625 5,80763375 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-01 13,9955 13,9805 0,4207 0,4207 5,88790685 5,88159635 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-02 14,0055 13,9905 0,4252 0,4252 5,9551386 5,9487606 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-05 13,9175 13,9025 0,426 0,426 5,928855 5,922465 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-06 13,9455 13,9305 0,4256 0,4256 5,9352048 5,9288208 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-07 13,9105 13,8955 0,4269 0,4269 5,93839245 5,93198895 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-08 13,8955 13,8805 0,4192 0,4192 5,8249936 5,8187056 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-12 14,0125 13,9975 0,4276 0,4276 5,991745 5,985331 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-13 14,0075 13,9925 0,4291 0,4291 6,01061825 6,00418175 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-14 13,9555 13,9405 0,4294 0,4294 5,9924917 5,9860507 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-15 13,9105 13,8955 0,4318 0,4318 6,0065539 6,0000769 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-16 13,9755 13,9605 0,4305 0,4305 6,01645275 6,00999525 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-19 13,9125 13,8975 0,4336 0,4336 6,03246 6,025956 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-20 13,8225 13,8075 0,4391 0,4391 6,06945975 6,06287325 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-21 13,9605 13,9455 0,4468 0,4468 6,2375514 6,2308494 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-22 13,8975 13,8825 0,449 0,449 6,2399775 6,2332425 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-23 13,8255 13,8105 0,4522 0,4522 6,2518911 6,2451081 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-28 13,7705 13,7555 0,4536 0,4536 6,2462988 6,2394948 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-29 13,6655 13,6505 0,4563 0,4563 6,23556765 6,22872315 958033 Insight Investment Funds Management Limited Insight Investment Japan Equity Fund GBP 2005-12-30 13,7405 13,7255 0,4534 0,4534 6,2299427 6,2231417 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-04 12,8005 12,7855 1,3201 1,3201 16,89794005 16,87813855 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-05 12,8355 12,8205 1,3115 1,3115 16,83375825 16,81408575 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-07 12,8955 12,8805 1,3229 1,3229 17,05945695 17,03961345 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-10 13,03576 13,02076 1,3225 1,3225 17,2397926 17,2199551 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-11 13,03576 13,02076 1,3193 1,3193 17,198078168 17,178288668 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-12 12,9275 12,9125 1,3235 1,3235 17,10954625 17,08969375 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-13 12,9275 12,9125 1,3175 1,3175 17,03198125 17,01221875 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-14 12,9175 12,9025 1,3239 1,3239 17,10147825 17,08161975 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-17 12,9455 12,9305 1,3292 1,3292 17,2071586 17,1872206 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-18 12,9175 12,9025 1,3233 1,3233 17,09372775 17,07387825 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-19 12,9275 12,9125 1,3275 1,3275 17,16125625 17,14134375 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-20 12,9955 12,9805 1,3169 1,3169 17,11377395 17,09402045 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-21 13,0555 13,0405 1,3168 1,3168 17,1914824 17,1717304 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-24 13,0525 13,0375 1,3173 1,3173 17,19405825 17,17429875 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-25 13,0575 13,0425 1,325 1,325 17,3011875 17,2813125 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-26 13,0755 13,0605 1,3289 1,3289 17,37603195 17,35609845 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-27 13,0475 13,0325 1,3304 1,3304 17,358394 17,338438 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-28 13,1705 13,1555 1,3329 1,3329 17,55495945 17,53496595 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-01-31 13,1875 13,1725 1,3386 1,3386 17,6527875 17,6327085 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-01 13,1555 13,1405 1,3404 1,3404 17,6336322 17,6135262 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-02 13,1025 13,0875 1,3517 1,3517 17,71064925 17,69037375 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-03 13,1225 13,1075 1,3496 1,3496 17,710126 17,689882 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-04 13,1855 13,1705 1,357 1,357 17,8927235 17,8723685 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-07 13,2305 13,2155 1,3623 1,3623 18,02391015 18,00347565 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-08 13,2175 13,2025 1,369 1,369 18,0947575 18,0742225 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-09 13,1775 13,1625 1,3702 1,3702 18,0558105 18,0352575 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-10 13,1855 13,1705 1,3707 1,3707 18,07336485 18,05280435 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-11 13,2155 13,2005 1,3767 1,3767 18,19377885 18,17312835 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-14 13,2175 13,2025 1,3812 1,3812 18,256011 18,235293 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-15 13,2175 13,2025 1,3824 1,3824 18,271872 18,251136 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-16 13,1905 13,1755 1,3789 1,3789 18,18838045 18,16769695 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-17 13,1605 13,1455 1,3834 1,3834 18,2062357 18,1854847 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-18 13,2005 13,1855 1,3801 1,3801 18,21801005 18,19730855 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-21 13,2475 13,2325 1,3772 1,3772 18,244457 18,223799 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-22 13,1575 13,1425 1,368 1,368 17,99946 17,97894 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-23 13,1405 13,1255 1,3572 1,3572 17,8342866 17,8139286 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-24 13,0725 13,0575 1,3606 1,3606 17,7864435 17,7660345 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-25 13,1575 13,1425 1,3634 1,3634 17,9389355 17,9184845 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-02-28 13,1325 13,1175 1,3628 1,3628 17,896971 17,876529 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-01 13,1855 13,1705 1,3596 1,3596 17,9270058 17,9066118 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-02 13,2105 13,1955 1,3576 1,3576 17,9345748 17,9142108 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-03 13,1875 13,1725 1,368 1,368 18,0405 18,01998 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-04 13,1505 13,1355 1,3717 1,3717 18,03854085 18,01796535 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-07 13,1305 13,1155 1,3726 1,3726 18,0229243 18,0023353 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-08 13,0925 13,0775 1,3696 1,3696 17,931488 17,910944 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-09 13,0505 13,0355 1,3764 1,3764 17,9627082 17,9420622 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-10 13,0175 13,0025 1,361 1,361 17,7168175 17,6964025 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-11 12,9975 12,9825 1,3646 1,3646 17,7363885 17,7159195 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-14 12,9805 12,9655 1,3571 1,3571 17,61583655 17,59548005 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-15 13,0475 13,0325 1,363 1,363 17,7837425 17,7632975 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-16 13,0825 13,0675 1,3627 1,3627 17,82752275 17,80708225 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-17 13,0825 13,0675 1,3515 1,3515 17,68099875 17,66072625 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-18 13,0955 13,0805 1,3542 1,3542 17,7339261 17,7136131 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-21 13,1805 13,1655 1,3536 1,3536 17,8411248 17,8208208 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-22 13,1605 13,1455 1,3435 1,3435 17,68113175 17,66097925 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-23 13,1455 13,1305 1,3373 1,3373 17,57947715 17,55941765 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-24 13,1205 13,1055 1,345 1,345 17,6470725 17,6268975 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-29 13,2125 13,1975 1,338 1,338 17,678325 17,658255 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-30 13,2575 13,2425 1,3388 1,3388 17,749141 17,729059 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-03-31 13,2725 13,2575 1,3444 1,3444 17,843549 17,823383 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-01 13,3525 13,3375 1,3476 1,3476 17,993829 17,973615 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-04 13,3575 13,3425 1,3403 1,3403 17,90305725 17,88295275 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-05 13,4255 13,4105 1,3487 1,3487 18,10697185 18,08674135 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-06 13,4155 13,4005 1,3537 1,3537 18,16056235 18,14025685 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-07 13,3375 13,3225 1,3626 1,3626 18,1736775 18,1532385 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-08 13,3655 13,3505 1,3969 1,3969 18,67026695 18,64931345 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-11 13,3755 13,3605 1,3615 1,3615 18,21074325 18,19032075 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-12 13,3375 13,3225 1,3587 1,3587 18,12166125 18,10128075 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-13 13,3955 13,3805 1,3611 1,3611 18,23261505 18,21219855 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-14 13,4505 13,4355 1,3579 1,3579 18,26443395 18,24406545 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-15 13,4925 13,4775 1,3456 1,3456 18,155508 18,135324 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-18 13,4225 13,4075 1,3194 1,3194 17,7096465 17,6898555 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-19 13,4855 13,4705 1,3307 1,3307 17,94515485 17,92519435 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-20 13,5005 13,4855 1,3321 1,3321 17,98401605 17,96403455 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-21 13,4575 13,4425 1,3257 1,3257 17,84060775 17,82072225 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-22 13,4125 13,3975 1,331 1,331 17,8520375 17,8320725 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-25 13,4775 13,4625 1,3331 1,3331 17,96685525 17,94685875 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-26 13,4225 13,4075 1,328 1,328 17,82508 17,80516 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-27 13,4605 13,4455 1,3188 1,3188 17,7517074 17,7319254 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-28 13,4755 13,4605 1,3109 1,3109 17,66503295 17,64536945 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-04-29 13,5405 13,5255 1,3108 1,3108 17,7488874 17,7292254 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-03 13,5955 13,5805 1,3231 1,3231 17,98820605 17,96835955 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-04 13,4925 13,4775 1,3213 1,3213 17,82764025 17,80782075 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-06 13,4375 13,4225 1,3318 1,3318 17,8960625 17,8760855 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-09 13,5205 13,5055 1,3312 1,3312 17,9984896 17,9785216 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-10 13,4755 13,4605 1,3325 1,3325 17,95610375 17,93611625 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-11 13,4805 13,4655 1,3243 1,3243 17,85222615 17,83236165 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-12 13,4955 13,4805 1,3313 1,3313 17,96655915 17,94658965 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-13 13,5205 13,5055 1,3219 1,3219 17,87274895 17,85292045 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-16 13,4775 13,4625 1,3256 1,3256 17,865774 17,84589 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-17 13,4375 13,4225 1,3275 1,3275 17,83828125 17,81836875 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-18 13,3805 13,3655 1,3391 1,3391 17,91782755 17,89774105 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-19 13,3505 13,3355 1,3533 1,3533 18,06723165 18,04693215 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-20 13,3655 13,3505 1,3581 1,3581 18,15168555 18,13131405 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-23 13,3775 13,3625 1,3581 1,3581 18,16798275 18,14761125 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-24 13,3605 13,3455 1,3565 1,3565 18,12351825 18,10317075 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-25 13,3405 13,3255 1,3583 1,3583 18,12040115 18,10002665 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-26 13,3655 13,3505 1,3617 1,3617 18,19980135 18,17937585 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-27 13,3855 13,3705 1,3589 1,3589 18,18955595 18,16917245 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-05-31 13,4475 13,4325 1,362 1,362 18,315495 18,295065 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-01 13,5155 13,5005 1,3595 1,3595 18,37432225 18,35392975 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-02 13,5755 13,5605 1,3714 1,3714 18,6174407 18,5968697 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-03 13,5255 13,5105 1,3732 1,3732 18,5732166 18,5526186 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-07 13,6225 13,6075 1,3715 1,3715 18,68325875 18,66268625 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-08 13,6505 13,6355 1,376 1,376 18,783088 18,762448 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-09 13,7225 13,7075 1,3718 1,3718 18,8245255 18,8039485 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-10 13,6925 13,6775 1,3884 1,3884 19,010667 18,989841 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-13 13,8305 13,8155 1,3865 1,3865 19,17598825 19,15519075 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-14 13,8625 13,8475 1,389 1,389 19,2550125 19,2341775 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-15 13,9175 13,9025 1,3894 1,3894 19,3369745 19,3161335 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-16 13,9605 13,9455 1,3895 1,3895 19,39811475 19,37727225 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-17 13,9355 13,9205 1,3991 1,3991 19,49715805 19,47617155 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-20 13,7705 13,7555 1,395 1,395 19,2098475 19,1889225 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-21 13,9325 13,9175 1,3984 1,3984 19,483208 19,462232 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-22 13,9175 13,9025 1,4047 1,4047 19,54991225 19,52884175 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-23 14,0705 14,0555 1,4095 1,4095 19,83236975 19,81122725 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-27 14,1125 14,0975 1,3876 1,3876 19,582505 19,561691 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-28 14,1355 14,1205 1,3953 1,3953 19,72326315 19,70233365 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-29 14,2175 14,2025 1,4012 1,4012 19,921561 19,900543 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-06-30 14,1205 14,1055 1,407 1,407 19,8675435 19,8464385 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-01 13,9625 13,9475 1,4122 1,4122 19,7178425 19,6966595 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-04 14,0055 13,9905 1,4192 1,4192 19,8766056 19,8553176 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-05 13,9575 13,9425 1,419 1,419 19,8056925 19,7844075 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-06 13,8755 13,8605 1,4345 1,4345 19,90440475 19,88288725 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-07 13,7955 13,7805 1,3886 1,3886 19,1564313 19,1356023 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-08 13,7455 13,7305 1,4355 1,4355 19,73166525 19,71013275 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-11 13,7425 13,7275 1,4402 1,4402 19,7919485 19,7703455 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-12 13,7325 13,7175 1,4384 1,4384 19,752828 19,731252 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-13 13,6455 13,6305 1,4454 1,4454 19,7232057 19,7015247 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-14 13,6705 13,6555 1,4483 1,4483 19,79898515 19,77726065 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-15 13,6805 13,6655 1,4392 1,4392 19,6889756 19,6673876 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-18 13,6225 13,6075 1,435 1,435 19,5482875 19,5267625 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-19 13,7025 13,6875 1,4282 1,4282 19,5699105 19,5484875 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-20 13,5825 13,5675 1,435 1,435 19,4908875 19,4693625 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-21 13,5825 13,5675 1,4341 1,4341 19,47866325 19,45715175 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-22 13,6105 13,5955 1,4353 1,4353 19,53515065 19,51362115 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-25 13,5875 13,5725 1,4467 1,4467 19,65703625 19,63533575 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-26 13,6305 13,6155 1,4527 1,4527 19,80102735 19,77923685 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-27 13,7055 13,6905 1,4514 1,4514 19,8921627 19,8703917 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-28 13,6655 13,6505 1,4568 1,4568 19,9079004 19,8860484 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-07-29 13,5975 13,5825 1,4592 1,4592 19,841472 19,819584 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-01 13,6055 13,5905 1,4583 1,4583 19,84090065 19,81902615 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-02 13,6355 13,6205 1,4622 1,4622 19,9378281 19,9158951 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-03 13,6005 13,5855 1,4667 1,4667 19,94785335 19,92585285 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-04 13,5175 13,5025 1,4676 1,4676 19,838283 19,816269 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-05 13,4275 13,4125 1,4733 1,4733 19,78273575 19,76063625 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-08 13,4375 13,4225 1,4742 1,4742 19,8095625 19,7874495 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-09 13,4755 13,4605 1,4755 1,4755 19,88310025 19,86096775 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-10 13,5305 13,5155 1,4847 1,4847 20,08873335 20,06646285 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-11 13,5455 13,5305 1,479 1,479 20,0337945 20,0116095 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-12 13,5225 13,5075 1,4787 1,4787 19,99572075 19,97354025 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-15 13,6175 13,6025 1,4806 1,4806 20,1620705 20,1398615 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-16 13,6355 13,6205 1,4806 1,4806 20,1887213 20,1665123 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-17 13,7125 13,6975 1,4712 1,4712 20,17383 20,151762 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-18 13,7405 13,7255 1,4667 1,4667 20,15319135 20,13119085 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-19 13,7775 13,7625 1,4739 1,4739 20,30665725 20,28454875 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-22 13,8405 13,8255 1,4771 1,4771 20,44380255 20,42164605 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-23 13,7805 13,7655 1,4722 1,4722 20,2876521 20,2655691 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-24 13,7555 13,7405 1,4696 1,4696 20,2150828 20,1930388 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-25 13,7055 13,6905 1,4649 1,4649 20,07718695 20,05521345 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-26 13,6875 13,6725 1,468 1,468 20,09325 20,07123 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-30 13,6825 13,6675 1,4682 1,4682 20,0886465 20,0666235 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-08-31 13,6805 13,6655 1,4771 1,4771 20,20746655 20,18531005 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-01 13,6375 13,6225 1,4857 1,4857 20,26123375 20,23894825 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-02 13,6475 13,6325 1,4841 1,4841 20,25425475 20,23199325 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-05 13,6855 13,6705 1,4792 1,4792 20,2435916 20,2214036 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-06 13,7625 13,7475 1,4852 1,4852 20,440065 20,417787 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-07 13,7105 13,6955 1,4898 1,4898 20,4259029 20,4035559 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-08 13,7855 13,7705 1,4907 1,4907 20,55004485 20,52768435 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-09 13,8275 13,8125 1,4901 1,4901 20,60435775 20,58200625 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-12 13,8055 13,7905 1,4929 1,4929 20,61023095 20,58783745 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-13 13,7805 13,7655 1,4867 1,4867 20,48746935 20,46516885 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-14 13,8805 13,8655 1,4847 1,4847 20,60837835 20,58610785 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-15 13,8955 13,8805 1,4919 1,4919 20,73069645 20,70831795 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-16 13,7905 13,7755 1,5024 1,5024 20,7188472 20,6963112 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-19 13,8555 13,8405 1,5044 1,5044 20,8442142 20,8216482 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-20 13,8775 13,8625 1,5064 1,5064 20,905066 20,88247 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-21 13,8375 13,8225 1,4932 1,4932 20,662155 20,639757 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-22 13,8355 13,8205 1,4868 1,4868 20,5706214 20,5483194 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-23 13,8055 13,7905 1,492 1,492 20,597806 20,575426 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-26 13,8325 13,8175 1,502 1,502 20,776415 20,753885 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-27 13,8205 13,8055 1,5041 1,5041 20,78741405 20,76485255 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-28 13,8275 13,8125 1,5069 1,5069 20,83665975 20,81405625 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-29 13,7475 13,7325 1,5116 1,5116 20,780721 20,758047 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-09-30 13,6775 13,6625 1,5109 1,5109 20,66533475 20,64267125 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-03 13,6775 13,6625 1,5175 1,5175 20,75560625 20,73284375 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-04 13,7375 13,7225 1,5174 1,5174 20,8452825 20,8225215 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-05 13,7405 13,7255 1,5055 1,5055 20,68632275 20,66374025 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-06 13,6705 13,6555 1,4861 1,4861 20,31573005 20,29343855 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-07 13,5955 13,5805 1,486 1,486 20,202913 20,180623 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-10 13,5675 13,5525 1,4915 1,4915 20,23592625 20,21355375 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-11 13,5855 13,5705 1,4937 1,4937 20,29266135 20,27025585 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-12 13,5955 13,5805 1,4862 1,4862 20,2056321 20,1833391 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-13 13,6675 13,6525 1,4634 1,4634 20,0010195 19,9790685 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-14 13,7555 13,7405 1,4577 1,4577 20,05139235 20,02952685 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-17 13,8475 13,8325 1,4581 1,4581 20,19103975 20,16916825 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-18 13,8225 13,8075 1,4624 1,4624 20,214024 20,192088 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-19 13,8975 13,8825 1,4336 1,4336 19,923456 19,901952 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-20 13,9905 13,9755 1,4402 1,4402 20,1491181 20,1275151 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-21 14,0025 13,9875 1,4237 1,4237 19,93535925 19,91400375 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-24 14,1375 14,1225 1,4367 1,4367 20,31134625 20,28979575 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-25 14,1225 14,1075 1,4403 1,4403 20,34063675 20,31903225 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-26 13,9955 13,9805 1,4482 1,4482 20,2682831 20,2465601 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-27 14,0405 14,0255 1,4388 1,4388 20,2014714 20,1798894 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-28 13,9655 13,9505 1,4329 1,4329 20,01116495 19,98967145 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-10-31 14,0725 14,0575 1,4683 1,4683 20,66265175 20,64062725 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-01 14,1055 14,0905 1,4842 1,4842 20,9353831 20,9131201 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-02 14,0775 14,0625 1,488 1,488 20,94732 20,925 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-03 14,2125 14,1975 1,5045 1,5045 21,38270625 21,36013875 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-04 14,1905 14,1755 1,5103 1,5103 21,43191215 21,40925765 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-07 14,2275 14,2125 1,5089 1,5089 21,46787475 21,44524125 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-08 14,1725 14,1575 1,5214 1,5214 21,5620415 21,5392205 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-09 14,1525 14,1375 1,5162 1,5162 21,4580205 21,4352775 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-10 14,2425 14,2275 1,5158 1,5158 21,5887815 21,5660445 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-11 14,3475 14,3325 1,517 1,517 21,7651575 21,7424025 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-14 14,1905 14,1755 1,5267 1,5267 21,66463635 21,64173585 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-15 14,2325 14,2175 1,5154 1,5154 21,5679305 21,5451995 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-16 14,2475 14,2325 1,4594 1,4594 20,7928015 20,7709105 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-17 14,1855 14,1705 1,527 1,527 21,6612585 21,6383535 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-18 14,0775 14,0625 1,5409 1,5409 21,69201975 21,66890625 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-21 13,9755 13,9605 1,5328 1,5328 21,4216464 21,3986544 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-22 13,9775 13,9625 1,5404 1,5404 21,530941 21,507835 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-23 13,8705 13,8555 1,5447 1,5447 21,42576135 21,40259085 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-24 13,8725 13,8575 1,5401 1,5401 21,36503725 21,34193575 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-25 13,8775 13,8625 1,5461 1,5461 21,45600275 21,43281125 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-28 13,8505 13,8355 1,55 1,55 21,468275 21,445025 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-29 13,8325 13,8175 1,5314 1,5314 21,1830905 21,1601195 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-11-30 13,9255 13,9105 1,53 1,53 21,306015 21,283065 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-01 13,9955 13,9805 1,5318 1,5318 21,4383069 21,4153299 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-02 14,0055 13,9905 1,5464 1,5464 21,6581052 21,6349092 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-05 13,9175 13,9025 1,5455 1,5455 21,50949625 21,48631375 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-06 13,9455 13,9305 1,5475 1,5475 21,58066125 21,55744875 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-07 13,9105 13,8955 1,56 1,56 21,70038 21,67698 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-08 13,8955 13,8805 1,5451 1,5451 21,46993705 21,44676055 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-12 14,0125 13,9975 1,5522 1,5522 21,7502025 21,7269195 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-13 14,0075 13,9925 1,5476 1,5476 21,678007 21,654793 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-14 13,9555 13,9405 1,5484 1,5484 21,6086962 21,5854702 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-15 13,9105 13,8955 1,5502 1,5502 21,5640571 21,5408041 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-16 13,9755 13,9605 1,5623 1,5623 21,83392365 21,81048915 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-19 13,9125 13,8975 1,5616 1,5616 21,72576 21,702336 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-20 13,8225 13,8075 1,5646 1,5646 21,6266835 21,6032145 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-21 13,9605 13,9455 1,5765 1,5765 22,00872825 21,98508075 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-22 13,8975 13,8825 1,5785 1,5785 21,93720375 21,91352625 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-23 13,8255 13,8105 1,5802 1,5802 21,8470551 21,8233521 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-28 13,7705 13,7555 1,5845 1,5845 21,81935725 21,79558975 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-29 13,6655 13,6505 1,5918 1,5918 21,7527429 21,7288659 165522 Insight Investment Funds Management Limited Insight Investment UK Equity Fund GBP 2005-12-30 13,7405 13,7255 1,5848 1,5848 21,7759444 21,7521724 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-04 12,8005 12,7855 0,8507 0,8507 10,88938535 10,87662485 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-05 12,8355 12,8205 0,8472 0,8472 10,8742356 10,8615276 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-07 12,8955 12,8805 0,8464 0,8464 10,9147512 10,9020552 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-10 13,03576 13,02076 0,8482 0,8482 11,056931632 11,044208632 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-11 13,03576 13,02076 0,8499 0,8499 11,079092424 11,066343924 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-12 12,9275 12,9125 0,8518 0,8518 11,0116445 10,9988675 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-13 12,9275 12,9125 0,8547 0,8547 11,04913425 11,03631375 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-14 12,9175 12,9025 0,8571 0,8571 11,07158925 11,05873275 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-17 12,9455 12,9305 0,8591 0,8591 11,12147905 11,10859255 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-18 12,9175 12,9025 0,8615 0,8615 11,12842625 11,11550375 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-19 12,9275 12,9125 0,864 0,864 11,16936 11,1564 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-20 12,9955 12,9805 0,8662 0,8662 11,2567021 11,2437091 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-21 13,0555 13,0405 0,8693 0,8693 11,34914615 11,33610665 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-24 13,0525 13,0375 0,869 0,869 11,3426225 11,3295875 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-25 13,0575 13,0425 0,8687 0,8687 11,34305025 11,33001975 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-26 13,0755 13,0605 0,8734 0,8734 11,4201417 11,4070407 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-27 13,0475 13,0325 0,8764 0,8764 11,434829 11,421683 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-28 13,1705 13,1555 0,8775 0,8775 11,55711375 11,54395125 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-01-31 13,1875 13,1725 0,8786 0,8786 11,5865375 11,5733585 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-01 13,1555 13,1405 0,8837 0,8837 11,62551535 11,61225985 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-02 13,1025 13,0875 0,8885 0,8885 11,64157125 11,62824375 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-03 13,1225 13,1075 0,8908 0,8908 11,689523 11,676161 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-04 13,1855 13,1705 0,8937 0,8937 11,78388135 11,77047585 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-07 13,2305 13,2155 0,8955 0,8955 11,84791275 11,83448025 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-08 13,2175 13,2025 0,8986 0,8986 11,8772455 11,8637665 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-09 13,1775 13,1625 0,9016 0,9016 11,880834 11,86731 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-10 13,1855 13,1705 0,9007 0,9007 11,87617985 11,86266935 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-11 13,2155 13,2005 0,9021 0,9021 11,92170255 11,90817105 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-14 13,2175 13,2025 0,9017 0,9017 11,91821975 11,90469425 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-15 13,2175 13,2025 0,9022 0,9022 11,9248285 11,9112955 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-16 13,1905 13,1755 0,899 0,899 11,8582595 11,8447745 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-17 13,1605 13,1455 0,8979 0,8979 11,81681295 11,80334445 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-18 13,2005 13,1855 0,8971 0,8971 11,84216855 11,82871205 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-21 13,2475 13,2325 0,8958 0,8958 11,8671105 11,8536735 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-22 13,1575 13,1425 0,8922 0,8922 11,7391215 11,7257385 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-23 13,1405 13,1255 0,8831 0,8831 11,60437555 11,59112905 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-24 13,0725 13,0575 0,8869 0,8869 11,59400025 11,58069675 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-25 13,1575 13,1425 0,8898 0,8898 11,7075435 11,6941965 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-02-28 13,1325 13,1175 0,8954 0,8954 11,7588405 11,7454095 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-01 13,1855 13,1705 0,8956 0,8956 11,8089338 11,7954998 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-02 13,2105 13,1955 0,8985 0,8985 11,86963425 11,85615675 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-03 13,1875 13,1725 0,9 0,9 11,86875 11,85525 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-04 13,1505 13,1355 0,9024 0,9024 11,8670112 11,8534752 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-07 13,1305 13,1155 0,904 0,904 11,869972 11,856412 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-08 13,0925 13,0775 0,9041 0,9041 11,83692925 11,82336775 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-09 13,0505 13,0355 0,9062 0,9062 11,8263631 11,8127701 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-10 13,0175 13,0025 0,9041 0,9041 11,76912175 11,75556025 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-11 12,9975 12,9825 0,9062 0,9062 11,7783345 11,7647415 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-14 12,9805 12,9655 0,9052 0,9052 11,7499486 11,7363706 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-15 13,0475 13,0325 0,904 0,904 11,79494 11,78138 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-16 13,0825 13,0675 0,9072 0,9072 11,868444 11,854836 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-17 13,0825 13,0675 0,9029 0,9029 11,81218925 11,79864575 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-18 13,0955 13,0805 0,9031 0,9031 11,82654605 11,81299955 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-21 13,1805 13,1655 0,9031 0,9031 11,90330955 11,88976305 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-22 13,1605 13,1455 0,8989 0,8989 11,82997345 11,81648995 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-23 13,1455 13,1305 0,8875 0,8875 11,66663125 11,65331875 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-24 13,1205 13,1055 0,8925 0,8925 11,71004625 11,69665875 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-29 13,2125 13,1975 0,8911 0,8911 11,77365875 11,76029225 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-30 13,2575 13,2425 0,8857 0,8857 11,74216775 11,72888225 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-03-31 13,2725 13,2575 0,8863 0,8863 11,76341675 11,75012225 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-01 13,3525 13,3375 0,8872 0,8872 11,846338 11,83303 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-04 13,3575 13,3425 0,8889 0,8889 11,87348175 11,86014825 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-05 13,4255 13,4105 0,8896 0,8896 11,9433248 11,9299808 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-06 13,4155 13,4005 0,8903 0,8903 11,94381965 11,93046515 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-07 13,3375 13,3225 0,8933 0,8933 11,91438875 11,90098925 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-08 13,3655 13,3505 0,8946 0,8946 11,9567763 11,9433573 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-11 13,3755 13,3605 0,8954 0,8954 11,9764227 11,9629917 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-12 13,3375 13,3225 0,8958 0,8958 11,9477325 11,9342955 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-13 13,3955 13,3805 0,8956 0,8956 11,9970098 11,9835758 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-14 13,4505 13,4355 0,8942 0,8942 12,0274371 12,0140241 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-15 13,4925 13,4775 0,8892 0,8892 11,997531 11,984193 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-18 13,4225 13,4075 0,8727 0,8727 11,71381575 11,70072525 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-19 13,4855 13,4705 0,8755 0,8755 11,80655525 11,79342275 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-20 13,5005 13,4855 0,8785 0,8785 11,86018925 11,84701175 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-21 13,4575 13,4425 0,8762 0,8762 11,7914615 11,7783185 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-22 13,4125 13,3975 0,8807 0,8807 11,81238875 11,79917825 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-25 13,4775 13,4625 0,8823 0,8823 11,89119825 11,87796375 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-26 13,4225 13,4075 0,8786 0,8786 11,7930085 11,7798295 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-27 13,4605 13,4455 0,8709 0,8709 11,72274945 11,70968595 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-28 13,4755 13,4605 0,8638 0,8638 11,6401369 11,6271799 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-04-29 13,5405 13,5255 0,8467 0,8467 11,46474135 11,45204085 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-03 13,5955 13,5805 0,8498 0,8498 11,5534559 11,5407089 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-04 13,4925 13,4775 0,8466 0,8466 11,4227505 11,4100515 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-06 13,4375 13,4225 0,8485 0,8485 11,40171875 11,38899125 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-09 13,5205 13,5055 0,8461 0,8461 11,43969505 11,42700355 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-10 13,4755 13,4605 0,8457 0,8457 11,39623035 11,38354485 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-11 13,4805 13,4655 0,8386 0,8386 11,3047473 11,2921683 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-12 13,4955 13,4805 0,8382 0,8382 11,3119281 11,2993551 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-13 13,5205 13,5055 0,8382 0,8382 11,3328831 11,3203101 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-16 13,4775 13,4625 0,8366 0,8366 11,2752765 11,2627275 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-17 13,4375 13,4225 0,8366 0,8366 11,2418125 11,2292635 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-18 13,3805 13,3655 0,8393 0,8393 11,23025365 11,21766415 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-19 13,3505 13,3355 0,8426 0,8426 11,2491313 11,2364923 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-20 13,3655 13,3505 0,8418 0,8418 11,2510779 11,2384509 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-23 13,3775 13,3625 0,8444 0,8444 11,295961 11,283295 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-24 13,3605 13,3455 0,8476 0,8476 11,3243598 11,3116458 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-25 13,3405 13,3255 0,8495 0,8495 11,33275475 11,32001225 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-26 13,3655 13,3505 0,8536 0,8536 11,4087908 11,3959868 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-27 13,3855 13,3705 0,8558 0,8558 11,4553109 11,4424739 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-05-31 13,4475 13,4325 0,8583 0,8583 11,54198925 11,52911475 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-01 13,5155 13,5005 0,8592 0,8592 11,6125176 11,5996296 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-02 13,5755 13,5605 0,8608 0,8608 11,6857904 11,6728784 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-03 13,5255 13,5105 0,8632 0,8632 11,6752116 11,6622636 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-07 13,6225 13,6075 0,8651 0,8651 11,78482475 11,77184825 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-08 13,6505 13,6355 0,8658 0,8658 11,8186029 11,8056159 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-09 13,7225 13,7075 0,8671 0,8671 11,89877975 11,88577325 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-10 13,6925 13,6775 0,8718 0,8718 11,9371215 11,9240445 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-13 13,8305 13,8155 0,8774 0,8774 12,1348807 12,1217197 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-14 13,8625 13,8475 0,877 0,877 12,1574125 12,1442575 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-15 13,9175 13,9025 0,8786 0,8786 12,2279155 12,2147365 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-16 13,9605 13,9455 0,8795 0,8795 12,27825975 12,26506725 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-17 13,9355 13,9205 0,8815 0,8815 12,28414325 12,27092075 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-20 13,7705 13,7555 0,8816 0,8816 12,1400728 12,1268488 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-21 13,9325 13,9175 0,8821 0,8821 12,28985825 12,27662675 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-22 13,9175 13,9025 0,8825 0,8825 12,28219375 12,26895625 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-23 14,0705 14,0555 0,8847 0,8847 12,44817135 12,43490085 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-27 14,1125 14,0975 0,8793 0,8793 12,40912125 12,39593175 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-28 14,1355 14,1205 0,8812 0,8812 12,4562026 12,4429846 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-29 14,2175 14,2025 0,8814 0,8814 12,5313045 12,5180835 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-06-30 14,1205 14,1055 0,8823 0,8823 12,45851715 12,44528265 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-01 13,9625 13,9475 0,8864 0,8864 12,37636 12,363064 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-04 14,0055 13,9905 0,8883 0,8883 12,44108565 12,42776115 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-05 13,9575 13,9425 0,8873 0,8873 12,38448975 12,37118025 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-06 13,8755 13,8605 0,8902 0,8902 12,3519701 12,3386171 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-07 13,7955 13,7805 0,8755 0,8755 12,07796025 12,06482775 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-08 13,7455 13,7305 0,8912 0,8912 12,2499896 12,2366216 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-11 13,7425 13,7275 0,8963 0,8963 12,31740275 12,30395825 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-12 13,7325 13,7175 0,8976 0,8976 12,326292 12,312828 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-13 13,6455 13,6305 0,8999 0,8999 12,27958545 12,26608695 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-14 13,6705 13,6555 0,901 0,901 12,3171205 12,3036055 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-15 13,6805 13,6655 0,8988 0,8988 12,2960334 12,2825514 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-18 13,6225 13,6075 0,8999 0,8999 12,25888775 12,24538925 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-19 13,7025 13,6875 0,8963 0,8963 12,28155075 12,26810625 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-20 13,5825 13,5675 0,8933 0,8933 12,13324725 12,11984775 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-21 13,5825 13,5675 0,8965 0,8965 12,17671125 12,16326375 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-22 13,6105 13,5955 0,8981 0,8981 12,22359005 12,21011855 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-25 13,5875 13,5725 0,9039 0,9039 12,28174125 12,26818275 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-26 13,6305 13,6155 0,9029 0,9029 12,30697845 12,29343495 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-27 13,7055 13,6905 0,9063 0,9063 12,42129465 12,40770015 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-28 13,6655 13,6505 0,9112 0,9112 12,4520036 12,4383356 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-07-29 13,5975 13,5825 0,9152 0,9152 12,444432 12,430704 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-01 13,6055 13,5905 0,9193 0,9193 12,50753615 12,49374665 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-02 13,6355 13,6205 0,9252 0,9252 12,6155646 12,6016866 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-03 13,6005 13,5855 0,928 0,928 12,621264 12,607344 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-04 13,5175 13,5025 0,9288 0,9288 12,555054 12,541122 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-05 13,4275 13,4125 0,9293 0,9293 12,47817575 12,46423625 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-08 13,4375 13,4225 0,932 0,932 12,52375 12,50977 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-09 13,4755 13,4605 0,9304 0,9304 12,5376052 12,5236492 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-10 13,5305 13,5155 0,9323 0,9323 12,61448515 12,60050065 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-11 13,5455 13,5305 0,9317 0,9317 12,62034235 12,60636685 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-12 13,5225 13,5075 0,9333 0,9333 12,62054925 12,60654975 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-15 13,6175 13,6025 0,9338 0,9338 12,7160215 12,7020145 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-16 13,6355 13,6205 0,9359 0,9359 12,76146445 12,74742595 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-17 13,7125 13,6975 0,9304 0,9304 12,75811 12,744154 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-18 13,7405 13,7255 0,9304 0,9304 12,7841612 12,7702052 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-19 13,7775 13,7625 0,9291 0,9291 12,80067525 12,78673875 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-22 13,8405 13,8255 0,9282 0,9282 12,8467521 12,8328291 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-23 13,7805 13,7655 0,9289 0,9289 12,80070645 12,78677295 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-24 13,7555 13,7405 0,9324 0,9324 12,8256282 12,8116422 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-25 13,7055 13,6905 0,9341 0,9341 12,80230755 12,78829605 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-26 13,6875 13,6725 0,9339 0,9339 12,78275625 12,76874775 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-30 13,6825 13,6675 0,9362 0,9362 12,8095565 12,7955135 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-08-31 13,6805 13,6655 0,9366 0,9366 12,8131563 12,7991073 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-01 13,6375 13,6225 0,9404 0,9404 12,824705 12,810599 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-02 13,6475 13,6325 0,9424 0,9424 12,861404 12,847268 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-05 13,6855 13,6705 0,9449 0,9449 12,93142895 12,91725545 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-06 13,7625 13,7475 0,9463 0,9463 13,02345375 13,00925925 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-07 13,7105 13,6955 0,9489 0,9489 13,00989345 12,99565995 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-08 13,7855 13,7705 0,9503 0,9503 13,10036065 13,08610615 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-09 13,8275 13,8125 0,9523 0,9523 13,16792825 13,15364375 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-12 13,8055 13,7905 0,9563 0,9563 13,20219965 13,18785515 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-13 13,7805 13,7655 0,9549 0,9549 13,15899945 13,14467595 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-14 13,8805 13,8655 0,9531 0,9531 13,22950455 13,21520805 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-15 13,8955 13,8805 0,9534 0,9534 13,2479697 13,2336687 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-16 13,7905 13,7755 0,9534 0,9534 13,1478627 13,1335617 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-19 13,8555 13,8405 0,9572 0,9572 13,2624846 13,2481266 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-20 13,8775 13,8625 0,9563 0,9563 13,27105325 13,25670875 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-21 13,8375 13,8225 0,9548 0,9548 13,212045 13,197723 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-22 13,8355 13,8205 0,9513 0,9513 13,16171115 13,14744165 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-23 13,8055 13,7905 0,9498 0,9498 13,1124639 13,0982169 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-26 13,8325 13,8175 0,9514 0,9514 13,1602405 13,1459695 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-27 13,8205 13,8055 0,9516 0,9516 13,1515878 13,1373138 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-28 13,8275 13,8125 0,9537 0,9537 13,18728675 13,17298125 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-29 13,7475 13,7325 0,9551 0,9551 13,13023725 13,11591075 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-09-30 13,6775 13,6625 0,9533 0,9533 13,03876075 13,02446125 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-03 13,6775 13,6625 0,9532 0,9532 13,037393 13,023095 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-04 13,7375 13,7225 0,953 0,953 13,0918375 13,0775425 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-05 13,7405 13,7255 0,9479 0,9479 13,02461995 13,01040145 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-06 13,6705 13,6555 0,9368 0,9368 12,8065244 12,7924724 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-07 13,5955 13,5805 0,936 0,936 12,725388 12,711348 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-10 13,5675 13,5525 0,9373 0,9373 12,71681775 12,70275825 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-11 13,5855 13,5705 0,9385 0,9385 12,74999175 12,73591425 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-12 13,5955 13,5805 0,9358 0,9358 12,7226689 12,7086319 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-13 13,6675 13,6525 0,9313 0,9313 12,72854275 12,71457325 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-14 13,7555 13,7405 0,9266 0,9266 12,7458463 12,7319473 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-17 13,8475 13,8325 0,9236 0,9236 12,789551 12,775697 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-18 13,8225 13,8075 0,9229 0,9229 12,75678525 12,74294175 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-19 13,8975 13,8825 0,9048 0,9048 12,574458 12,560886 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-20 13,9905 13,9755 0,9091 0,9091 12,71876355 12,70512705 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-21 14,0025 13,9875 0,9045 0,9045 12,66526125 12,65169375 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-24 14,1375 14,1225 0,9045 0,9045 12,78736875 12,77380125 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-25 14,1225 14,1075 0,9062 0,9062 12,7978095 12,7842165 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-26 13,9955 13,9805 0,9076 0,9076 12,7023158 12,6887018 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-27 14,0405 14,0255 0,9081 0,9081 12,75017805 12,73655655 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-28 13,9655 13,9505 0,9054 0,9054 12,6443637 12,6307827 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-10-31 14,0725 14,0575 0,9148 0,9148 12,873523 12,859801 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-01 14,1055 14,0905 0,9178 0,9178 12,9460279 12,9322609 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-02 14,0775 14,0625 0,9198 0,9198 12,9484845 12,9346875 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-03 14,2125 14,1975 0,9289 0,9289 13,20199125 13,18805775 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-04 14,1905 14,1755 0,933 0,933 13,2397365 13,2257415 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-07 14,2275 14,2125 0,9375 0,9375 13,33828125 13,32421875 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-08 14,1725 14,1575 0,9378 0,9378 13,2909705 13,2769035 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-09 14,1525 14,1375 0,9388 0,9388 13,286367 13,272285 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-10 14,2425 14,2275 0,9421 0,9421 13,41785925 13,40372775 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-11 14,3475 14,3325 0,9438 0,9438 13,5411705 13,5270135 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-14 14,1905 14,1755 0,9433 0,9433 13,38589865 13,37174915 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-15 14,2325 14,2175 0,94 0,94 13,37855 13,36445 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-16 14,2475 14,2325 0,942 0,942 13,421145 13,407015 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-17 14,1855 14,1705 0,9415 0,9415 13,35564825 13,34152575 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-18 14,0775 14,0625 0,9442 0,9442 13,2919755 13,2778125 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-21 13,9755 13,9605 0,9474 0,9474 13,2403887 13,2261777 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-22 13,9775 13,9625 0,9494 0,9494 13,2702385 13,2559975 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-23 13,8705 13,8555 0,9537 0,9537 13,22829585 13,21399035 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-24 13,8725 13,8575 0,9563 0,9563 13,26627175 13,25192725 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-25 13,8775 13,8625 0,9581 0,9581 13,29603275 13,28166125 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-28 13,8505 13,8355 0,9579 0,9579 13,26739395 13,25302545 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-29 13,8325 13,8175 0,9541 0,9541 13,19758825 13,18327675 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-11-30 13,9255 13,9105 0,95 0,95 13,229225 13,214975 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-01 13,9955 13,9805 0,9521 0,9521 13,32511555 13,31083405 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-02 14,0055 13,9905 0,9535 0,9535 13,35424425 13,33994175 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-05 13,9175 13,9025 0,9549 0,9549 13,28982075 13,27549725 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-06 13,9455 13,9305 0,9533 0,9533 13,29424515 13,27994565 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-07 13,9105 13,8955 0,955 0,955 13,2845275 13,2702025 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-08 13,8955 13,8805 0,9582 0,9582 13,3146681 13,3002951 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-12 14,0125 13,9975 0,9609 0,9609 13,46461125 13,45019775 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-13 14,0075 13,9925 0,9603 0,9603 13,45140225 13,43699775 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-14 13,9555 13,9405 0,9611 0,9611 13,41263105 13,39821455 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-15 13,9105 13,8955 0,9607 0,9607 13,36381735 13,34940685 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-16 13,9755 13,9605 0,9645 0,9645 13,47936975 13,46490225 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-19 13,9125 13,8975 0,9677 0,9677 13,46312625 13,44861075 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-20 13,8225 13,8075 0,9705 0,9705 13,41473625 13,40017875 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-21 13,9605 13,9455 0,9727 0,9727 13,57937835 13,56478785 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-22 13,8975 13,8825 0,9774 0,9774 13,5834165 13,5687555 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-23 13,8255 13,8105 0,9825 0,9825 13,58355375 13,56881625 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-28 13,7705 13,7555 0,9853 0,9853 13,56807365 13,55329415 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-29 13,6655 13,6505 0,9893 0,9893 13,51927915 13,50443965 129692 Insight Investment Funds Management Limited Insight Investment UK Small Cap Fund GBP 2005-12-30 13,7405 13,7255 0,9993 0,9993 13,73088165 13,71589215 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-04 12,8005 12,7855 1,0808 1,0808 13,8347804 13,8185684 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-05 12,8355 12,8205 1,0783 1,0783 13,84051965 13,82434515 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-07 12,8955 12,8805 1,0771 1,0771 13,88974305 13,87358655 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-10 13,03576 13,02076 1,0773 1,0773 14,043424248 14,027264748 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-11 13,03576 13,02076 1,0812 1,0812 14,094263712 14,078045712 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-12 12,9275 12,9125 1,0779 1,0779 13,93455225 13,91838375 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-13 12,9275 12,9125 1,0765 1,0765 13,91645375 13,90030625 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-14 12,9175 12,9025 1,0753 1,0753 13,89018775 13,87405825 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-17 12,9455 12,9305 1,0834 1,0834 14,0251547 14,0089037 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-18 12,9175 12,9025 1,0811 1,0811 13,96510925 13,94889275 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-19 12,9275 12,9125 1,0862 1,0862 14,0418505 14,0255575 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-20 12,9955 12,9805 1,0852 1,0852 14,1027166 14,0864386 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-21 13,0555 13,0405 1,079 1,079 14,0868845 14,0706995 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-24 13,0525 13,0375 1,0634 1,0634 13,8800285 13,8640775 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-25 13,0575 13,0425 1,0625 1,0625 13,87359375 13,85765625 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-26 13,0755 13,0605 1,066 1,066 13,938483 13,922493 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-27 13,0475 13,0325 1,068 1,068 13,93473 13,91871 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-28 13,1705 13,1555 1,0689 1,0689 14,07794745 14,06191395 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-01-31 13,1875 13,1725 1,0629 1,0629 14,01699375 14,00105025 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-01 13,1555 13,1405 1,072 1,072 14,102696 14,086616 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-02 13,1025 13,0875 1,0762 1,0762 14,1009105 14,0847675 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-03 13,1225 13,1075 1,0782 1,0782 14,1486795 14,1325065 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-04 13,1855 13,1705 1,078 1,078 14,213969 14,197799 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-07 13,2305 13,2155 1,0947 1,0947 14,48342835 14,46700785 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-08 13,2175 13,2025 1,1019 1,1019 14,56436325 14,54783475 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-09 13,1775 13,1625 1,0974 1,0974 14,4609885 14,4445275 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-10 13,1855 13,1705 1,0896 1,0896 14,3669208 14,3505768 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-11 13,2155 13,2005 1,0926 1,0926 14,4392553 14,4228663 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-14 13,2175 13,2025 1,089 1,089 14,3938575 14,3775225 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-15 13,2175 13,2025 1,0896 1,0896 14,401788 14,385444 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-16 13,1905 13,1755 1,093 1,093 14,4172165 14,4008215 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-17 13,1605 13,1455 1,0913 1,0913 14,36205365 14,34568415 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-18 13,2005 13,1855 1,0826 1,0826 14,2908613 14,2746223 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-21 13,2475 13,2325 1,0811 1,0811 14,32187225 14,30565575 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-22 13,1575 13,1425 1,0726 1,0726 14,1127345 14,0966455 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-23 13,1405 13,1255 1,0608 1,0608 13,9394424 13,9235304 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-24 13,0725 13,0575 1,0645 1,0645 13,91567625 13,89970875 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-25 13,1575 13,1425 1,0737 1,0737 14,12720775 14,11110225 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-02-28 13,1325 13,1175 1,0757 1,0757 14,12663025 14,11049475 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-01 13,1855 13,1705 1,0706 1,0706 14,1163963 14,1003373 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-02 13,2105 13,1955 1,081 1,081 14,2805505 14,2643355 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-03 13,1875 13,1725 1,0805 1,0805 14,24909375 14,23288625 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-04 13,1505 13,1355 1,0829 1,0829 14,24067645 14,22443295 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-07 13,1305 13,1155 1,0873 1,0873 14,27679265 14,26048315 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-08 13,0925 13,0775 1,0834 1,0834 14,1844145 14,1681635 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-09 13,0505 13,0355 1,0763 1,0763 14,04625315 14,03010865 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-10 13,0175 13,0025 1,0664 1,0664 13,881862 13,865866 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-11 12,9975 12,9825 1,0724 1,0724 13,938519 13,922433 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-14 12,9805 12,9655 1,0654 1,0654 13,8294247 13,8134437 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-15 13,0475 13,0325 1,0683 1,0683 13,93864425 13,92261975 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-16 13,0825 13,0675 1,0597 1,0597 13,86352525 13,84762975 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-17 13,0825 13,0675 1,0508 1,0508 13,747091 13,731329 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-18 13,0955 13,0805 1,0566 1,0566 13,8367053 13,8208563 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-21 13,1805 13,1655 1,065 1,065 14,0372325 14,0212575 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-22 13,1605 13,1455 1,0606 1,0606 13,9580263 13,9421173 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-23 13,1455 13,1305 1,0612 1,0612 13,9500046 13,9340866 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-24 13,1205 13,1055 1,0666 1,0666 13,9943253 13,9783263 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-29 13,2125 13,1975 1,0685 1,0685 14,11755625 14,10152875 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-30 13,2575 13,2425 1,0529 1,0529 13,95882175 13,94302825 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-03-31 13,2725 13,2575 1,0668 1,0668 14,159103 14,143101 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-01 13,3525 13,3375 1,064 1,064 14,20706 14,1911 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-04 13,3575 13,3425 1,0632 1,0632 14,201694 14,185746 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-05 13,4255 13,4105 1,0657 1,0657 14,30755535 14,29156985 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-06 13,4155 13,4005 1,0674 1,0674 14,3197047 14,3036937 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-07 13,3375 13,3225 1,0704 1,0704 14,27646 14,260404 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-08 13,3655 13,3505 1,0826 1,0826 14,4694903 14,4532513 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-11 13,3755 13,3605 1,0627 1,0627 14,21414385 14,19820335 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-12 13,3375 13,3225 1,06 1,06 14,13775 14,12185 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-13 13,3955 13,3805 1,066 1,066 14,279603 14,263613 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-14 13,4505 13,4355 1,0575 1,0575 14,22390375 14,20804125 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-15 13,4925 13,4775 1,0468 1,0468 14,123949 14,108247 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-18 13,4225 13,4075 1,0222 1,0222 13,7204795 13,7051465 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-19 13,4855 13,4705 1,0202 1,0202 13,7579071 13,7426041 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-20 13,5005 13,4855 1,0221 1,0221 13,79886105 13,78352955 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-21 13,4575 13,4425 1,0116 1,0116 13,613607 13,598433 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-22 13,4125 13,3975 1,0295 1,0295 13,80816875 13,79272625 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-25 13,4775 13,4625 1,0245 1,0245 13,80769875 13,79233125 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-26 13,4225 13,4075 1,0356 1,0356 13,900341 13,884807 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-27 13,4605 13,4455 1,0296 1,0296 13,8589308 13,8434868 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-28 13,4755 13,4605 1,0299 1,0299 13,87841745 13,86296895 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-04-29 13,5405 13,5255 1,0165 1,0165 13,76391825 13,74867075 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-03 13,5955 13,5805 1,0461 1,0461 14,22225255 14,20656105 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-04 13,4925 13,4775 1,0389 1,0389 14,01735825 14,00177475 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-06 13,4375 13,4225 1,0515 1,0515 14,12953125 14,11375875 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-09 13,5205 13,5055 1,059 1,059 14,3182095 14,3023245 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-10 13,4755 13,4605 1,066 1,066 14,364883 14,348893 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-11 13,4805 13,4655 1,0542 1,0542 14,2111431 14,1953301 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-12 13,4955 13,4805 1,068 1,068 14,413194 14,397174 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-13 13,5205 13,5055 1,0642 1,0642 14,3885161 14,3725531 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-16 13,4775 13,4625 1,07 1,07 14,420925 14,404875 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-17 13,4375 13,4225 1,0785 1,0785 14,49234375 14,47616625 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-18 13,3805 13,3655 1,0902 1,0902 14,5874211 14,5710681 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-19 13,3505 13,3355 1,0952 1,0952 14,6214676 14,6050396 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-20 13,3655 13,3505 1,1027 1,1027 14,73813685 14,72159635 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-23 13,3775 13,3625 1,104 1,104 14,76876 14,7522 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-24 13,3605 13,3455 1,1071 1,1071 14,79140955 14,77480305 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-25 13,3405 13,3255 1,1123 1,1123 14,83863815 14,82195365 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-26 13,3655 13,3505 1,1091 1,1091 14,82367605 14,80703955 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-27 13,3855 13,3705 1,1173 1,1173 14,95561915 14,93885965 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-05-31 13,4475 13,4325 1,1219 1,1219 15,08675025 15,06992175 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-01 13,5155 13,5005 1,1185 1,1185 15,11708675 15,10030925 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-02 13,5755 13,5605 1,1268 1,1268 15,2968734 15,2799714 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-03 13,5255 13,5105 1,1267 1,1267 15,23918085 15,22228035 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-07 13,6225 13,6075 1,1113 1,1113 15,13868425 15,12201475 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-08 13,6505 13,6355 1,1082 1,1082 15,1274841 15,1108611 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-09 13,7225 13,7075 1,1112 1,1112 15,248442 15,231774 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-10 13,6925 13,6775 1,117 1,117 15,2945225 15,2777675 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-13 13,8305 13,8155 1,1269 1,1269 15,58559045 15,56868695 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-14 13,8625 13,8475 1,1232 1,1232 15,57036 15,553512 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-15 13,9175 13,9025 1,1276 1,1276 15,693373 15,676459 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-16 13,9605 13,9455 1,1209 1,1209 15,64832445 15,63151095 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-17 13,9355 13,9205 1,1241 1,1241 15,66489555 15,64803405 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-20 13,7705 13,7555 1,1281 1,1281 15,53450105 15,51757955 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-21 13,9325 13,9175 1,1316 1,1316 15,766017 15,749043 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-22 13,9175 13,9025 1,1274 1,1274 15,6905895 15,6736785 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-23 14,0705 14,0555 1,1294 1,1294 15,8912227 15,8742817 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-27 14,1125 14,0975 1,1035 1,1035 15,57314375 15,55659125 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-28 14,1355 14,1205 1,1079 1,1079 15,66072045 15,64410195 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-29 14,2175 14,2025 1,1252 1,1252 15,997531 15,980653 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-06-30 14,1205 14,1055 1,1338 1,1338 16,0098229 15,9928159 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-01 13,9625 13,9475 1,1324 1,1324 15,811135 15,794149 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-04 14,0055 13,9905 1,1484 1,1484 16,0839162 16,0666902 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-05 13,9575 13,9425 1,151 1,151 16,0650825 16,0478175 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-06 13,8755 13,8605 1,1609 1,1609 16,10806795 16,09065445 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-07 13,7955 13,7805 1,1392 1,1392 15,7158336 15,6987456 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-08 13,7455 13,7305 1,1676 1,1676 16,0492458 16,0317318 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-11 13,7425 13,7275 1,1742 1,1742 16,1364435 16,1188305 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-12 13,7325 13,7175 1,165 1,165 15,9983625 15,9808875 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-13 13,6455 13,6305 1,1704 1,1704 15,9706932 15,9531372 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-14 13,6705 13,6555 1,1765 1,1765 16,08334325 16,06569575 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-15 13,6805 13,6655 1,18 1,18 16,14299 16,12529 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-18 13,6225 13,6075 1,19 1,19 16,210775 16,192925 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-19 13,7025 13,6875 1,1877 1,1877 16,27445925 16,25664375 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-20 13,5825 13,5675 1,1966 1,1966 16,2528195 16,2348705 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-21 13,5825 13,5675 1,1958 1,1958 16,2419535 16,2240165 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-22 13,6105 13,5955 1,1888 1,1888 16,1801624 16,1623304 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-25 13,5875 13,5725 1,1994 1,1994 16,2968475 16,2788565 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-26 13,6305 13,6155 1,1958 1,1958 16,2993519 16,2814149 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-27 13,7055 13,6905 1,1981 1,1981 16,42055955 16,40258805 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-28 13,6655 13,6505 1,1967 1,1967 16,35350385 16,33555335 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-07-29 13,5975 13,5825 1,1969 1,1969 16,27484775 16,25689425 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-01 13,6055 13,5905 1,1793 1,1793 16,04496615 16,02727665 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-02 13,6355 13,6205 1,1788 1,1788 16,0735274 16,0558454 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-03 13,6005 13,5855 1,1834 1,1834 16,0948317 16,0770807 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-04 13,5175 13,5025 1,1848 1,1848 16,015534 15,997762 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-05 13,4275 13,4125 1,1764 1,1764 15,796111 15,778465 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-08 13,4375 13,4225 1,1623 1,1623 15,61840625 15,60097175 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-09 13,4755 13,4605 1,1631 1,1631 15,67335405 15,65590755 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-10 13,5305 13,5155 1,1636 1,1636 15,7440898 15,7266358 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-11 13,5455 13,5305 1,1563 1,1563 15,66266165 15,64531715 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-12 13,5225 13,5075 1,1558 1,1558 15,6293055 15,6119685 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-15 13,6175 13,6025 1,1532 1,1532 15,703701 15,686403 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-16 13,6355 13,6205 1,1559 1,1559 15,76127445 15,74393595 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-17 13,7125 13,6975 1,1417 1,1417 15,65556125 15,63843575 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-18 13,7405 13,7255 1,1441 1,1441 15,72050605 15,70334455 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-19 13,7775 13,7625 1,1477 1,1477 15,81243675 15,79522125 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-22 13,8405 13,8255 1,1462 1,1462 15,8639811 15,8467881 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-23 13,7805 13,7655 1,1499 1,1499 15,84619695 15,82894845 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-24 13,7555 13,7405 1,1484 1,1484 15,7968162 15,7795902 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-25 13,7055 13,6905 1,1358 1,1358 15,5667069 15,5496699 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-26 13,6875 13,6725 1,1365 1,1365 15,55584375 15,53879625 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-30 13,6825 13,6675 1,1499 1,1499 15,73350675 15,71625825 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-08-31 13,6805 13,6655 1,1474 1,1474 15,6970057 15,6797947 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-01 13,6375 13,6225 1,1403 1,1403 15,55084125 15,53373675 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-02 13,6475 13,6325 1,1231 1,1231 15,32750725 15,31066075 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-05 13,6855 13,6705 1,1135 1,1135 15,23880425 15,22210175 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-06 13,7625 13,7475 1,116 1,116 15,35895 15,34221 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-07 13,7105 13,6955 1,1332 1,1332 15,5367386 15,5197406 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-08 13,7855 13,7705 1,1382 1,1382 15,6906561 15,6735831 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-09 13,8275 13,8125 1,1374 1,1374 15,7273985 15,7103375 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-12 13,8055 13,7905 1,1489 1,1489 15,86113895 15,84390545 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-13 13,7805 13,7655 1,1492 1,1492 15,8365506 15,8193126 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-14 13,8805 13,8655 1,1404 1,1404 15,8293222 15,8122162 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-15 13,8955 13,8805 1,1446 1,1446 15,9047893 15,8876203 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-16 13,7905 13,7755 1,1441 1,1441 15,77771105 15,76054955 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-19 13,8555 13,8405 1,1592 1,1592 16,0612956 16,0439076 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-20 13,8775 13,8625 1,1522 1,1522 15,9896555 15,9723725 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-21 13,8375 13,8225 1,1408 1,1408 15,78582 15,768708 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-22 13,8355 13,8205 1,1337 1,1337 15,68530635 15,66830085 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-23 13,8055 13,7905 1,1469 1,1469 15,83352795 15,81632445 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-26 13,8325 13,8175 1,1683 1,1683 16,16050975 16,14298525 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-27 13,8205 13,8055 1,1611 1,1611 16,04698255 16,02956605 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-28 13,8275 13,8125 1,1611 1,1611 16,05511025 16,03769375 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-29 13,7475 13,7325 1,1608 1,1608 15,958098 15,940686 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-09-30 13,6775 13,6625 1,1715 1,1715 16,02319125 16,00561875 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-03 13,6775 13,6625 1,1813 1,1813 16,15723075 16,13951125 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-04 13,7375 13,7225 1,177 1,177 16,1690375 16,1513825 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-05 13,7405 13,7255 1,1617 1,1617 15,96233885 15,94491335 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-06 13,6705 13,6555 1,1429 1,1429 15,62401445 15,60687095 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-07 13,5955 13,5805 1,1384 1,1384 15,4771172 15,4600412 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-10 13,5675 13,5525 1,1487 1,1487 15,58498725 15,56775675 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-11 13,5855 13,5705 1,145 1,145 15,5553975 15,5382225 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-12 13,5955 13,5805 1,1472 1,1472 15,5967576 15,5795496 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-13 13,6675 13,6525 1,1339 1,1339 15,49757825 15,48056975 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-14 13,7555 13,7405 1,1376 1,1376 15,6482568 15,6311928 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-17 13,8475 13,8325 1,1413 1,1413 15,80415175 15,78703225 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-18 13,8225 13,8075 1,1507 1,1507 15,90555075 15,88829025 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-19 13,8975 13,8825 1,1314 1,1314 15,7236315 15,7066605 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-20 13,9905 13,9755 1,1417 1,1417 15,97295385 15,95582835 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-21 14,0025 13,9875 1,1207 1,1207 15,69260175 15,67579125 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-24 14,1375 14,1225 1,124 1,124 15,89055 15,87369 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-25 14,1225 14,1075 1,1338 1,1338 16,0120905 15,9950835 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-26 13,9955 13,9805 1,1347 1,1347 15,88069385 15,86367335 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-27 14,0405 14,0255 1,1271 1,1271 15,82504755 15,80814105 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-28 13,9655 13,9505 1,1174 1,1174 15,6050497 15,5882887 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-10-31 14,0725 14,0575 1,1357 1,1357 15,98213825 15,96510275 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-01 14,1055 14,0905 1,1493 1,1493 16,21145115 16,19421165 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-02 14,0775 14,0625 1,1493 1,1493 16,17927075 16,16203125 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-03 14,2125 14,1975 1,1501 1,1501 16,34579625 16,32854475 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-04 14,1905 14,1755 1,1642 1,1642 16,5205801 16,5031171 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-07 14,2275 14,2125 1,175 1,175 16,7173125 16,6996875 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-08 14,1725 14,1575 1,1874 1,1874 16,8284265 16,8106155 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-09 14,1525 14,1375 1,184 1,184 16,75656 16,7388 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-10 14,2425 14,2275 1,1784 1,1784 16,783362 16,765686 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-11 14,3475 14,3325 1,1925 1,1925 17,10939375 17,09150625 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-14 14,1905 14,1755 1,1935 1,1935 16,93636175 16,91845925 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-15 14,2325 14,2175 1,2002 1,2002 17,0818465 17,0638435 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-16 14,2475 14,2325 1,1996 1,1996 17,091301 17,073307 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-17 14,1855 14,1705 1,2085 1,2085 17,14317675 17,12504925 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-18 14,0775 14,0625 1,2218 1,2218 17,1998895 17,1815625 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-21 13,9755 13,9605 1,223 1,223 17,0920365 17,0736915 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-22 13,9775 13,9625 1,2345 1,2345 17,25522375 17,23670625 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-23 13,8705 13,8555 1,2331 1,2331 17,10371355 17,08521705 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-24 13,8725 13,8575 1,2363 1,2363 17,15057175 17,13202725 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-25 13,8775 13,8625 1,2403 1,2403 17,21226325 17,19365875 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-28 13,8505 13,8355 1,2493 1,2493 17,30342965 17,28469015 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-29 13,8325 13,8175 1,2279 1,2279 16,98492675 16,96650825 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-11-30 13,9255 13,9105 1,22 1,22 16,98911 16,97081 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-01 13,9955 13,9805 1,2182 1,2182 17,0493181 17,0310451 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-02 14,0055 13,9905 1,2338 1,2338 17,2799859 17,2614789 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-05 13,9175 13,9025 1,2271 1,2271 17,07816425 17,05975775 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-06 13,9455 13,9305 1,2249 1,2249 17,08184295 17,06346945 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-07 13,9105 13,8955 1,2275 1,2275 17,07513875 17,05672625 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-08 13,8955 13,8805 1,2136 1,2136 16,8635788 16,8453748 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-12 14,0125 13,9975 1,2029 1,2029 16,85563625 16,83759275 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-13 14,0075 13,9925 1,201 1,201 16,8230075 16,8049925 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-14 13,9555 13,9405 1,2044 1,2044 16,8080042 16,7899382 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-15 13,9105 13,8955 1,2068 1,2068 16,7871914 16,7690894 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-16 13,9755 13,9605 1,2078 1,2078 16,8796089 16,8614919 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-19 13,9125 13,8975 1,2057 1,2057 16,77430125 16,75621575 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-20 13,8225 13,8075 1,2008 1,2008 16,598058 16,580046 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-21 13,9605 13,9455 1,213 1,213 16,9340865 16,9158915 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-22 13,8975 13,8825 1,2232 1,2232 16,999422 16,981074 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-23 13,8255 13,8105 1,2313 1,2313 17,02333815 17,00486865 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-28 13,7705 13,7555 1,2194 1,2194 16,7917477 16,7734567 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-29 13,6655 13,6505 1,2323 1,2323 16,83999565 16,82151115 993865 Insight Investment Funds Management Limited Insight Investment US Equity Fund GBP 2005-12-30 13,7405 13,7255 1,2285 1,2285 16,88020425 16,86177675 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-03 9,0065 9,0015 196,56 196,56 1770,31764 1769,33484 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-04 9,0345 9,0295 197,2 197,2 1781,6034 1780,6174 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-05 9,0615 9,0565 195,86 195,86 1774,78539 1773,80609 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-07 9,0615 9,0565 198,22 198,22 1796,17053 1795,17943 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-10 9,08619 9,08119 198,38 198,38 1802,5183722 1801,5264722 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-11 9,08619 9,08119 196,27 196,27 1783,3465113 1782,3651613 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-12 9,0455 9,0405 194,83 194,83 1762,334765 1761,360615 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-13 9,0505 9,0455 195,27 195,27 1767,291135 1766,314785 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-14 9,0455 9,0405 195,88 195,88 1771,83254 1770,85314 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-17 9,0685 9,0635 196,99 196,99 1786,403815 1785,418865 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-18 9,0585 9,0535 196,59 196,59 1780,810515 1779,827565 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-19 9,0225 9,0175 196,63 196,63 1774,094175 1773,111025 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-20 9,0315 9,0265 195,58 195,58 1766,38077 1765,40287 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-21 9,0505 9,0455 195,88 195,88 1772,81194 1771,83254 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-24 9,0655 9,0605 195,36 195,36 1771,03608 1770,05928 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-25 9,0715 9,0665 196,75 196,75 1784,817625 1783,833875 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-26 9,0885 9,0835 196,59 196,59 1786,708215 1785,725265 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-27 9,0675 9,0625 197,42 197,42 1790,10585 1789,11875 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-28 9,0955 9,0905 196,76 196,76 1789,63058 1788,64678 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-01-31 9,1075 9,1025 198,34 198,34 1806,38155 1805,38985 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-01 9,1035 9,0985 199,81 199,81 1818,970335 1817,971285 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-02 9,0905 9,0855 200,24 200,24 1820,28172 1819,28052 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-03 9,0695 9,0645 199,6 199,6 1810,2722 1809,2742 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-04 9,0895 9,0845 201,42 201,42 1830,80709 1829,79999 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-07 9,0755 9,0705 202,84 202,84 1840,87442 1839,86022 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-08 9,0895 9,0845 202,99 202,99 1845,077605 1844,062655 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-09 9,0695 9,0645 202,78 202,78 1839,11321 1838,09931 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-10 9,0805 9,0755 202,86 202,86 1842,07023 1841,05593 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-11 9,0935 9,0885 204,97 204,97 1863,894695 1862,869845 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-14 9,1105 9,1055 204,85 204,85 1866,285925 1865,261675 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-15 9,0765 9,0715 206 206 1869,759 1868,729 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-16 9,0705 9,0655 204,9 204,9 1858,54545 1857,52095 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-17 9,0925 9,0875 204,72 204,72 1861,4166 1860,393 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-18 9,0945 9,0895 205,1 205,1 1865,28195 1864,25645 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-21 9,1185 9,1135 205,02 205,02 1869,47487 1868,44977 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-22 9,0975 9,0925 203,66 203,66 1852,79685 1851,77855 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-23 9,1045 9,0995 202,4 202,4 1842,7508 1841,7388 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-24 9,0715 9,0665 202,16 202,16 1833,89444 1832,88364 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-25 9,0845 9,0795 204,13 204,13 1854,418985 1853,398335 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-02-28 9,0505 9,0455 203,42 203,42 1841,05271 1840,03561 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-01 9,0565 9,0515 205,34 205,34 1859,66171 1858,63501 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-02 9,0645 9,0595 205,74 205,74 1864,93023 1863,90153 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-03 9,0675 9,0625 205,85 205,85 1866,544875 1865,515625 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-04 9,0415 9,0365 207,31 207,31 1874,393365 1873,356815 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-07 9,0425 9,0375 207,47 207,47 1876,047475 1875,010125 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-08 9,0345 9,0295 206,26 206,26 1863,45597 1862,42467 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-09 9,0365 9,0315 205,45 205,45 1856,548925 1855,521675 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-10 9,0655 9,0605 203,68 203,68 1846,46104 1845,44264 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-11 9,0795 9,0745 204,1 204,1 1853,12595 1852,10545 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-14 9,0695 9,0645 203,97 203,97 1849,905915 1848,886065 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-15 9,1035 9,0985 205,22 205,22 1868,22027 1867,19417 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-16 9,0975 9,0925 202,75 202,75 1844,518125 1843,504375 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-17 9,1045 9,0995 202,64 202,64 1844,93588 1843,92268 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-18 9,1035 9,0985 202,82 202,82 1846,37187 1845,35777 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-21 9,1265 9,1215 202,87 202,87 1851,493055 1850,478705 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-22 9,1265 9,1215 203,26 203,26 1855,05239 1854,03609 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-23 9,1165 9,1115 202,68 202,68 1847,73222 1846,71882 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-24 9,1135 9,1085 203,66 203,66 1856,05541 1855,03711 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-29 9,1315 9,1265 203,84 203,84 1861,36496 1860,34576 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-30 9,1425 9,1375 203,23 203,23 1858,030275 1857,014125 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-03-31 9,1405 9,1355 203,13 203,13 1856,709765 1855,694115 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-01 9,1645 9,1595 203,85 203,85 1868,183325 1867,164075 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-04 9,1695 9,1645 202,71 202,71 1858,749345 1857,735795 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-05 9,1745 9,1695 204,61 204,61 1877,194445 1876,171395 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-06 9,1705 9,1655 205,23 205,23 1882,061715 1881,035565 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-07 9,1505 9,1455 206,18 206,18 1886,65009 1885,61919 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-08 9,1625 9,1575 206,35 206,35 1890,681875 1889,650125 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-11 9,1705 9,1655 206,12 206,12 1890,22346 1889,19286 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-12 9,1525 9,1475 204,89 204,89 1875,255725 1874,231275 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-13 9,1495 9,1445 205,82 205,82 1883,15009 1882,12099 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-14 9,1685 9,1635 205,47 205,47 1883,851695 1882,824345 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-15 9,1925 9,1875 202,4 202,4 1860,562 1859,55 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-18 9,1805 9,1755 198,82 198,82 1825,26701 1824,27291 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-19 9,2035 9,1985 199,47 199,47 1835,822145 1834,824795 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-20 9,1915 9,1865 198,68 198,68 1826,16722 1825,17382 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-21 9,1855 9,1805 198,87 198,87 1826,720385 1825,726035 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-22 9,1625 9,1575 200 200 1832,5 1831,5 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-25 9,1685 9,1635 200,8 200,8 1841,0348 1840,0308 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-26 9,1375 9,1325 200,67 200,67 1833,622125 1832,618775 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-27 9,1465 9,1415 198,32 198,32 1813,93388 1812,94228 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-28 9,1505 9,1455 198,12 198,12 1812,89706 1811,90646 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-04-29 9,1705 9,1655 198,51 198,51 1820,435955 1819,443405 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-02 9,1935 9,1885 199,6 199,6 1835,0226 1834,0246 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-03 9,2245 9,2195 200,45 200,45 1849,051025 1848,048775 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-04 9,1915 9,1865 201,55 201,55 1852,546825 1851,539075 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-06 9,1715 9,1665 203,14 203,14 1863,09851 1862,08281 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-09 9,1815 9,1765 202,96 202,96 1863,47724 1862,46244 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-10 9,1985 9,1935 201,35 201,35 1852,117975 1851,111225 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-11 9,2105 9,2055 200,98 200,98 1851,12629 1850,12139 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-12 9,2315 9,2265 202,05 202,05 1865,224575 1864,214325 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-13 9,2045 9,1995 202,33 202,33 1862,346485 1861,334835 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-17 9,2325 9,2275 201,67 201,67 1861,918275 1860,909925 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-18 9,2095 9,2045 204,27 204,27 1881,224565 1880,203215 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-19 9,1905 9,1855 204,83 204,83 1882,490115 1881,465965 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-20 9,1955 9,1905 205,38 205,38 1888,57179 1887,54489 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-23 9,1805 9,1755 206,5 206,5 1895,77325 1894,74075 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-24 9,1815 9,1765 206,01 206,01 1891,480815 1890,450765 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-25 9,1785 9,1735 205,78 205,78 1888,75173 1887,72283 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-26 9,1945 9,1895 207,12 207,12 1904,36484 1903,32924 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-27 9,1955 9,1905 207,21 207,21 1905,399555 1904,363505 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-30 9,1905 9,1855 208,06 208,06 1912,17543 1911,13513 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-05-31 9,1665 9,1615 207,63 207,63 1903,240395 1902,202245 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-01 9,1455 9,1405 210,93 210,93 1929,060315 1928,005665 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-02 9,1565 9,1515 211,3 211,3 1934,76845 1933,71195 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-03 9,1315 9,1265 210,47 210,47 1921,906805 1920,854455 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-07 9,1455 9,1405 212,3 212,3 1941,58965 1940,52815 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-08 9,1455 9,1405 212,12 212,12 1939,94346 1938,88286 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-09 9,1965 9,1915 212,31 212,31 1952,508915 1951,447365 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-10 9,1975 9,1925 212,96 212,96 1958,6996 1957,6348 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-13 9,2365 9,2315 214,25 214,25 1978,920125 1977,848875 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-14 9,2985 9,2935 214,13 214,13 1991,087805 1990,017155 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-15 9,2695 9,2645 213,46 213,46 1978,66747 1977,60017 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-16 9,2695 9,2645 214,54 214,54 1988,67853 1987,60583 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-17 9,2695 9,2645 215,48 215,48 1997,39186 1996,31446 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-20 9,2255 9,2205 214,36 214,36 1977,57818 1976,50638 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-21 9,2725 9,2675 215,5 215,5 1998,22375 1997,14625 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-22 9,2615 9,2565 215,99 215,99 2000,391385 1999,311435 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-27 9,3855 9,3805 212,93 212,93 1998,454515 1997,389865 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-28 9,3995 9,3945 214,81 214,81 2019,106595 2018,032545 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-29 9,4215 9,4165 216 216 2035,044 2033,964 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-06-30 9,4415 9,4365 215,57 215,57 2035,304155 2034,226305 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-01 9,4595 9,4545 216,37 216,37 2046,752015 2045,670165 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-04 9,4795 9,4745 216,91 216,91 2056,198345 2055,113795 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-05 9,4575 9,4525 216,55 216,55 2048,021625 2046,938875 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-06 9,4195 9,4145 217,71 217,71 2050,719345 2049,630795 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-07 9,3965 9,3915 214,75 214,75 2017,898375 2016,824625 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-08 9,4175 9,4125 217,77 217,77 2050,848975 2049,760125 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-11 9,4665 9,4615 218,03 218,03 2063,980995 2062,890845 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-12 9,4645 9,4595 217,36 217,36 2057,20372 2056,11692 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-13 9,3915 9,3865 219,02 219,02 2056,92633 2055,83123 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-15 9,4055 9,4005 219,54 219,54 2064,88347 2063,78577 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-18 9,3895 9,3845 219,18 219,18 2057,99061 2056,89471 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-19 9,4425 9,4375 220,78 220,78 2084,71515 2083,61125 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-20 9,4265 9,4215 220,42 220,42 2077,78913 2076,68703 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-21 9,4625 9,4575 220,17 220,17 2083,358625 2082,257775 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-22 9,4495 9,4445 220,5 220,5 2083,61475 2082,51225 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-25 9,4275 9,4225 220,61 220,61 2079,800775 2078,697725 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-26 9,4155 9,4105 220,93 220,93 2080,166415 2079,061765 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-27 9,4725 9,4675 221,47 221,47 2097,874575 2096,767225 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-28 9,4515 9,4465 222,11 222,11 2099,272665 2098,162115 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-07-29 9,3885 9,3835 221,82 221,82 2082,55707 2081,44797 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-01 9,3985 9,3935 222,05 222,05 2086,936925 2085,826675 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-02 9,3995 9,3945 223,93 223,93 2104,830035 2103,710385 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-03 9,3755 9,3705 223,84 223,84 2098,61192 2097,49272 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-04 9,3735 9,3685 221,69 221,69 2078,011215 2076,902765 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-05 9,3355 9,3305 220,88 220,88 2062,02524 2060,92084 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-08 9,3335 9,3285 221,88 221,88 2070,91698 2069,80758 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-09 9,3455 9,3405 223,88 223,88 2092,27054 2091,15114 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-10 9,3535 9,3485 226,1 226,1 2114,82635 2113,69585 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-11 9,3365 9,3315 225,56 225,56 2105,94094 2104,81314 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-12 9,3025 9,2975 224,64 224,64 2089,7136 2088,5904 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-16 9,2995 9,2945 224,01 224,01 2083,180995 2082,060945 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-17 9,3405 9,3355 223,64 223,64 2088,90942 2087,79122 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-18 9,3365 9,3315 222,86 222,86 2080,73239 2079,61809 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-19 9,3395 9,3345 225,23 225,23 2103,535585 2102,409435 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-22 9,3655 9,3605 225,32 225,32 2110,23446 2109,10786 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-23 9,3715 9,3665 223,52 223,52 2094,71768 2093,60008 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-24 9,3365 9,3315 223,09 223,09 2082,879785 2081,764335 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-25 9,3335 9,3285 221,1 221,1 2063,63685 2062,53135 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-26 9,3415 9,3365 219,12 219,12 2046,90948 2045,81388 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-29 9,3295 9,3245 219,93 219,93 2051,836935 2050,737285 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-30 9,3285 9,3235 220,06 220,06 2052,82971 2051,72941 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-08-31 9,3585 9,3535 221,62 221,62 2074,03077 2072,92267 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-01 9,3365 9,3315 222,93 222,93 2081,385945 2080,271295 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-02 9,3025 9,2975 222,94 222,94 2073,89935 2072,78465 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-05 9,2845 9,2795 224,4 224,4 2083,4418 2082,3198 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-06 9,3225 9,3175 226,27 226,27 2109,402075 2108,270725 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-07 9,3075 9,3025 226,85 226,85 2111,406375 2110,272125 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-08 9,3255 9,3205 226,69 226,69 2113,997595 2112,864145 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-09 9,3445 9,3395 227,83 227,83 2128,957435 2127,818285 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-12 9,3015 9,2965 228,09 228,09 2121,579135 2120,438685 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-13 9,3015 9,2965 225,97 225,97 2101,859955 2100,730105 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-14 9,3365 9,3315 226,91 226,91 2118,545215 2117,410665 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-15 9,3425 9,3375 227,48 227,48 2125,2319 2124,0945 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-16 9,3465 9,3415 228,57 228,57 2136,329505 2135,186655 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-19 9,3355 9,3305 228,74 228,74 2135,40227 2134,25857 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-20 9,3395 9,3345 229,38 229,38 2142,29451 2141,14761 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-21 9,3405 9,3355 226,39 226,39 2114,595795 2113,463845 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-22 9,3405 9,3355 226,12 226,12 2112,07386 2110,94326 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-23 9,3695 9,3645 226,83 226,83 2125,283685 2124,149535 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-26 9,3815 9,3765 229,7 229,7 2154,93055 2153,78205 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-27 9,3885 9,3835 229,14 229,14 2151,28089 2150,13519 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-28 9,3935 9,3885 231,28 231,28 2172,52868 2171,37228 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-29 9,3845 9,3795 230,52 230,52 2163,31494 2162,16234 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-09-30 9,3435 9,3385 231,07 231,07 2159,002545 2157,847195 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-03 9,3025 9,2975 232,71 232,71 2164,784775 2163,621225 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-04 9,3185 9,3135 233,49 233,49 2175,776565 2174,609115 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-05 9,3105 9,3055 231,13 231,13 2151,935865 2150,780215 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-06 9,3015 9,2965 228,96 228,96 2129,67144 2128,52664 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-07 9,3385 9,3335 228,09 228,09 2130,018465 2128,878015 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-10 9,3465 9,3415 228,38 228,38 2134,55367 2133,41177 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-11 9,3395 9,3345 228,97 228,97 2138,465315 2137,320465 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-12 9,3375 9,3325 227,16 227,16 2121,1065 2119,9707 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-13 9,3815 9,3765 224,59 224,59 2106,991085 2105,868135 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-14 9,4135 9,4085 225,34 225,34 2121,23809 2120,11139 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-17 9,4575 9,4525 225,68 225,68 2134,3686 2133,2402 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-18 9,4625 9,4575 224,66 224,66 2125,84525 2124,72195 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-19 9,4605 9,4555 221,15 221,15 2092,189575 2091,083825 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-20 9,4935 9,4885 221,42 221,42 2102,05077 2100,94367 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-21 9,4915 9,4865 220,74 220,74 2095,15371 2094,05001 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-24 9,5455 9,5405 223,78 223,78 2136,09199 2134,97309 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-25 9,5465 9,5415 222,89 222,89 2127,819385 2126,704935 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-26 9,4975 9,4925 223,98 223,98 2127,25005 2126,13015 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-27 9,5355 9,5305 221,2 221,2 2109,2526 2108,1466 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-28 9,5135 9,5085 221,45 221,45 2106,764575 2105,657325 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-10-31 9,5495 9,5445 226,27 226,27 2160,765365 2159,634015 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-02 9,5855 9,5805 227,31 227,31 2178,880005 2177,743455 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-03 9,6515 9,6465 230,46 230,46 2224,28469 2223,13239 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-04 9,5875 9,5825 230,21 230,21 2207,138375 2205,987325 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-07 9,6075 9,6025 231,61 231,61 2225,193075 2224,035025 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-08 9,5685 9,5635 231,54 231,54 2215,49049 2214,33279 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-09 9,5575 9,5525 231,26 231,26 2210,26745 2209,11115 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-10 9,6105 9,6055 231,01 231,01 2220,121605 2218,966555 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-14 9,5505 9,5455 233,46 233,46 2229,65973 2228,49243 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-15 9,5805 9,5755 232,72 232,72 2229,57396 2228,41036 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-16 9,6235 9,6185 231,29 231,29 2225,819315 2224,662865 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-17 9,6355 9,6305 232,34 232,34 2238,71207 2237,55037 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-18 9,6085 9,6035 233,19 233,19 2240,606115 2239,440165 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-21 9,5915 9,5865 233,62 233,62 2240,76623 2239,59813 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-22 9,5585 9,5535 234,37 234,37 2240,225645 2239,053795 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-23 9,5155 9,5105 235,17 235,17 2237,760135 2236,584285 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-24 9,5125 9,5075 234,47 234,47 2230,395875 2229,223525 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-25 9,4965 9,4915 235,32 235,32 2234,71638 2233,53978 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-28 9,4835 9,4785 233,81 233,81 2217,337135 2216,168085 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-29 9,4785 9,4735 234,26 234,26 2220,43341 2219,26211 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-11-30 9,5295 9,5245 232,63 232,63 2216,847585 2215,684435 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-01 9,5165 9,5115 236,39 236,39 2249,605435 2248,423485 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-02 9,4905 9,4855 238,04 238,04 2259,11862 2257,92842 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-05 9,4065 9,4015 237,79 237,79 2236,771635 2235,582685 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-06 9,4185 9,4135 239,02 239,02 2251,20987 2250,01477 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-07 9,4255 9,4205 238,13 238,13 2244,494315 2243,303665 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-08 9,3965 9,3915 237,98 237,98 2236,17907 2234,98917 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-12 9,4315 9,4265 238,25 238,25 2247,054875 2245,863625 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-13 9,4295 9,4245 238,52 238,52 2249,12434 2247,93174 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-14 9,4365 9,4315 237,95 237,95 2245,415175 2244,225425 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-15 9,4345 9,4295 237,33 237,33 2239,089885 2237,903235 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-16 9,4765 9,4715 239,12 239,12 2266,02068 2264,82508 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-19 9,4535 9,4485 239,12 239,12 2260,52092 2259,32532 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-20 9,4015 9,3965 239,43 239,43 2251,001145 2249,803995 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-21 9,4485 9,4435 241,44 241,44 2281,24584 2280,03864 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-22 9,4365 9,4315 241,22 241,22 2276,27253 2275,06643 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-23 9,4425 9,4375 241,2 241,2 2277,531 2276,325 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-27 9,4915 9,4865 241,73 241,73 2294,380295 2293,171645 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-28 9,4345 9,4295 241,84 241,84 2281,63948 2280,43028 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-29 9,4115 9,4065 242,41 242,41 2281,441715 2280,229665 532382 IXIS Asset Management S.A. IXIS AM Europe Large Cap EUR 2005-12-30 9,4325 9,4275 240,94 240,94 2272,66655 2271,46185 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-03 9,0065 9,0015 265,02 265,02 2386,90263 2385,57753 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-04 9,0345 9,0295 265,51 265,51 2398,750095 2397,422545 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-05 9,0615 9,0565 264,39 264,39 2395,769985 2394,448035 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-07 9,0615 9,0565 267,54 267,54 2424,31371 2422,97601 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-10 9,08619 9,08119 267,9 267,9 2434,190301 2432,850801 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-11 9,08619 9,08119 266,91 266,91 2425,1949729 2423,8604229 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-12 9,0455 9,0405 267,01 267,01 2415,238955 2413,903905 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-13 9,0505 9,0455 268,61 268,61 2431,054805 2429,711755 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-14 9,0455 9,0405 269,73 269,73 2439,842715 2438,494065 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-17 9,0685 9,0635 271,26 271,26 2459,92131 2458,56501 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-18 9,0585 9,0535 271,96 271,96 2463,54966 2462,18986 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-19 9,0225 9,0175 273,56 273,56 2468,1951 2466,8273 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-20 9,0315 9,0265 273,55 273,55 2470,566825 2469,199075 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-21 9,0505 9,0455 273,85 273,85 2478,479425 2477,110175 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-24 9,0655 9,0605 273,11 273,11 2475,878705 2474,513155 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-25 9,0715 9,0665 274,48 274,48 2489,94532 2488,57292 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-26 9,0885 9,0835 275,36 275,36 2502,60936 2501,23256 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-27 9,0675 9,0625 275,28 275,28 2496,1014 2494,725 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-28 9,0955 9,0905 276,32 276,32 2513,26856 2511,88696 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-01-31 9,1075 9,1025 278,03 278,03 2532,158225 2530,768075 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-01 9,1035 9,0985 280,51 280,51 2553,622785 2552,220235 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-02 9,0905 9,0855 281,78 281,78 2561,52109 2560,11219 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-03 9,0695 9,0645 282,47 282,47 2561,861665 2560,449315 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-04 9,0895 9,0845 284,06 284,06 2581,96337 2580,54307 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-07 9,0755 9,0705 286,31 286,31 2598,406405 2596,974855 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-08 9,0895 9,0845 286,6 286,6 2605,0507 2603,6177 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-09 9,0695 9,0645 286,19 286,19 2595,600205 2594,169255 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-10 9,0805 9,0755 285,68 285,68 2594,11724 2592,68884 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-11 9,0935 9,0885 287,38 287,38 2613,29003 2611,85313 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-14 9,1105 9,1055 288,22 288,22 2625,82831 2624,38721 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-15 9,0765 9,0715 289,68 289,68 2629,28052 2627,83212 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-16 9,0705 9,0655 289,36 289,36 2624,63988 2623,19308 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-17 9,0925 9,0875 290,06 290,06 2637,37055 2635,92025 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-18 9,0945 9,0895 289,28 289,28 2630,85696 2629,41056 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-21 9,1185 9,1135 288,64 288,64 2631,96384 2630,52064 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-22 9,0975 9,0925 286,29 286,29 2604,523275 2603,091825 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-23 9,1045 9,0995 284,76 284,76 2592,59742 2591,17362 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-24 9,0715 9,0665 285,84 285,84 2592,99756 2591,56836 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-25 9,0845 9,0795 289,02 289,02 2625,60219 2624,15709 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-02-28 9,0505 9,0455 290,34 290,34 2627,72217 2626,27047 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-01 9,0565 9,0515 291,74 291,74 2642,14331 2640,68461 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-02 9,0645 9,0595 291,41 291,41 2641,485945 2640,028895 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-03 9,0675 9,0625 291,55 291,55 2643,629625 2642,171875 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-04 9,0415 9,0365 292,2 292,2 2641,9263 2640,4653 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-07 9,0425 9,0375 293,63 293,63 2655,149275 2653,681125 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-08 9,0345 9,0295 292,18 292,18 2639,70021 2638,23931 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-09 9,0365 9,0315 292,37 292,37 2642,001505 2640,539655 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-10 9,0655 9,0605 290,47 290,47 2633,255785 2631,803435 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-11 9,0795 9,0745 291,67 291,67 2648,217765 2646,759415 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-14 9,0695 9,0645 291,4 291,4 2642,8523 2641,3953 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-15 9,1035 9,0985 292,28 292,28 2660,77098 2659,30958 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-16 9,0975 9,0925 289,97 289,97 2638,002075 2636,552225 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-17 9,1045 9,0995 289,83 289,83 2638,757235 2637,308085 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-18 9,1035 9,0985 290,43 290,43 2643,929505 2642,477355 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-21 9,1265 9,1215 289,37 289,37 2640,935305 2639,488455 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-22 9,1265 9,1215 288,58 288,58 2633,72537 2632,28247 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-23 9,1165 9,1115 285,75 285,75 2605,039875 2603,611125 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-24 9,1135 9,1085 286,75 286,75 2613,296125 2611,862375 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-29 9,1315 9,1265 288,3 288,3 2632,61145 2631,16995 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-30 9,1425 9,1375 287,79 287,79 2631,120075 2629,681125 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-03-31 9,1405 9,1355 289,12 289,12 2642,70136 2641,25576 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-01 9,1645 9,1595 291,32 291,32 2669,80214 2668,34554 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-04 9,1695 9,1645 290,72 290,72 2665,75704 2664,30344 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-05 9,1745 9,1695 291,94 291,94 2678,40353 2676,94383 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-06 9,1705 9,1655 293,14 293,14 2688,24037 2686,77467 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-07 9,1505 9,1455 294,02 294,02 2690,43001 2688,95991 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-08 9,1625 9,1575 294,86 294,86 2701,65475 2700,18045 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-11 9,1705 9,1655 294,89 294,89 2704,288745 2702,814295 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-12 9,1525 9,1475 294,96 294,96 2699,6214 2698,1466 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-13 9,1495 9,1445 296,4 296,4 2711,9118 2710,4298 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-14 9,1685 9,1635 295,12 295,12 2705,80772 2704,33212 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-15 9,1925 9,1875 290,78 290,78 2672,99515 2671,54125 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-18 9,1805 9,1755 284,5 284,5 2611,85225 2610,42975 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-19 9,2035 9,1985 286,11 286,11 2633,213385 2631,782835 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-20 9,1915 9,1865 286,87 286,87 2636,765605 2635,331255 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-21 9,1855 9,1805 285,77 285,77 2624,940335 2623,511485 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-22 9,1625 9,1575 287,48 287,48 2634,0355 2632,5981 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-25 9,1685 9,1635 287,57 287,57 2636,585545 2635,147695 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-26 9,1375 9,1325 286,92 286,92 2621,7315 2620,2969 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-27 9,1465 9,1415 282,6 282,6 2584,8009 2583,3879 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-28 9,1505 9,1455 280,35 280,35 2565,342675 2563,940925 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-04-29 9,1705 9,1655 279,64 279,64 2564,43862 2563,04042 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-02 9,1935 9,1885 281,37 281,37 2586,775095 2585,368245 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-03 9,2245 9,2195 281,86 281,86 2600,01757 2598,60827 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-04 9,1915 9,1865 281,21 281,21 2584,741715 2583,335665 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-06 9,1715 9,1665 283,37 283,37 2598,927955 2597,511105 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-09 9,1815 9,1765 283,89 283,89 2606,536035 2605,116585 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-10 9,1985 9,1935 283,01 283,01 2603,267485 2601,852435 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-11 9,2105 9,2055 283,23 283,23 2608,689915 2607,273765 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-12 9,2315 9,2265 284,72 284,72 2628,39268 2626,96908 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-13 9,2045 9,1995 284,52 284,52 2618,86434 2617,44174 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-17 9,2325 9,2275 284,27 284,27 2624,522775 2623,101425 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-18 9,2095 9,2045 287,13 287,13 2644,323735 2642,888085 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-19 9,1905 9,1855 288,7 288,7 2653,29735 2651,85385 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-20 9,1955 9,1905 289,22 289,22 2659,52251 2658,07641 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-23 9,1805 9,1755 289,51 289,51 2657,846555 2656,399005 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-24 9,1815 9,1765 290,17 290,17 2664,195855 2662,745005 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-25 9,1785 9,1735 290,17 290,17 2663,325345 2661,874495 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-26 9,1945 9,1895 291,67 291,67 2681,759815 2680,301465 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-27 9,1955 9,1905 292,03 292,03 2685,361865 2683,901715 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-30 9,1905 9,1855 293,85 293,85 2700,628425 2699,159175 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-05-31 9,1665 9,1615 293,93 293,93 2694,309345 2692,839695 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-01 9,1455 9,1405 296,28 296,28 2709,62874 2708,14734 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-02 9,1565 9,1515 296,62 296,62 2716,00103 2714,51793 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-03 9,1315 9,1265 297,35 297,35 2715,251525 2713,764775 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-07 9,1455 9,1405 299,01 299,01 2734,595955 2733,100905 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-08 9,1455 9,1405 299,6 299,6 2739,9918 2738,4938 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-09 9,1965 9,1915 299,42 299,42 2753,61603 2752,11893 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-10 9,1975 9,1925 300,99 300,99 2768,355525 2766,850575 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-13 9,2365 9,2315 302,2 302,2 2791,2703 2789,7593 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-14 9,2985 9,2935 302,97 302,97 2817,166545 2815,651695 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-15 9,2695 9,2645 303,45 303,45 2812,829775 2811,312525 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-16 9,2695 9,2645 305,16 305,16 2828,68062 2827,15482 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-17 9,2695 9,2645 305,42 305,42 2831,09069 2829,56359 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-20 9,2255 9,2205 304,7 304,7 2811,00985 2809,48635 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-21 9,2725 9,2675 305,29 305,29 2830,801525 2829,275075 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-22 9,2615 9,2565 305,89 305,89 2833,000235 2831,470785 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-27 9,3855 9,3805 303,44 303,44 2847,93612 2846,41892 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-28 9,3995 9,3945 304,87 304,87 2865,625565 2864,101215 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-29 9,4215 9,4165 306,72 306,72 2889,76248 2888,22888 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-06-30 9,4415 9,4365 306,87 306,87 2897,313105 2895,778755 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-01 9,4595 9,4545 308,36 308,36 2916,93142 2915,38962 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-04 9,4795 9,4745 308,89 308,89 2928,122755 2926,578305 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-05 9,4575 9,4525 308,14 308,14 2914,23405 2912,69335 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-06 9,4195 9,4145 309,86 309,86 2918,72627 2917,17697 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-07 9,3965 9,3915 307,51 307,51 2889,517715 2887,980165 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-08 9,4175 9,4125 310,44 310,44 2923,5687 2922,0165 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-11 9,4665 9,4615 312,68 312,68 2959,98522 2958,42182 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-12 9,4645 9,4595 312,89 312,89 2961,347405 2959,782955 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-13 9,3915 9,3865 314,17 314,17 2950,527555 2948,956705 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-15 9,4055 9,4005 313,29 313,29 2946,649095 2945,082645 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-18 9,3895 9,3845 313,7 313,7 2945,48615 2943,91765 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-19 9,4425 9,4375 314,69 314,69 2971,460325 2969,886875 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-20 9,4265 9,4215 314,51 314,51 2964,728515 2963,155965 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-21 9,4625 9,4575 315,07 315,07 2981,349875 2979,774525 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-22 9,4495 9,4445 316,28 316,28 2988,68786 2987,10646 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-25 9,4275 9,4225 316,36 316,36 2982,4839 2980,9021 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-26 9,4155 9,4105 316,97 316,97 2984,431035 2982,846185 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-27 9,4725 9,4675 319,22 319,22 3023,81145 3022,21535 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-28 9,4515 9,4465 319,66 319,66 3021,26649 3019,66819 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-07-29 9,3885 9,3835 320,52 320,52 3009,20202 3007,59942 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-01 9,3985 9,3935 320,94 320,94 3016,35459 3014,74989 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-02 9,3995 9,3945 322,39 322,39 3030,304805 3028,692855 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-03 9,3755 9,3705 322,8 322,8 3026,4114 3024,7974 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-04 9,3735 9,3685 322,17 322,17 3019,860495 3018,249645 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-05 9,3355 9,3305 321,27 321,27 2999,216085 2997,609735 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-08 9,3335 9,3285 323,18 323,18 3016,40053 3014,78463 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-09 9,3455 9,3405 325,48 325,48 3041,77334 3040,14594 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-10 9,3535 9,3485 326,89 326,89 3057,565615 3055,931165 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-11 9,3365 9,3315 326,55 326,55 3048,834075 3047,201325 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-12 9,3025 9,2975 326,65 326,65 3038,661625 3037,028375 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-16 9,2995 9,2945 327,33 327,33 3044,005335 3042,368685 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-17 9,3405 9,3355 325,6 325,6 3041,2668 3039,6388 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-18 9,3365 9,3315 324,69 324,69 3031,468185 3029,844735 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-19 9,3395 9,3345 325,21 325,21 3037,298795 3035,672745 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-22 9,3655 9,3605 326,04 326,04 3053,52762 3051,89742 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-23 9,3715 9,3665 325,15 325,15 3047,143225 3045,517475 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-24 9,3365 9,3315 325,01 325,01 3034,455865 3032,830815 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-25 9,3335 9,3285 323,97 323,97 3023,773995 3022,154145 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-26 9,3415 9,3365 324,38 324,38 3030,19577 3028,57387 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-29 9,3295 9,3245 323,91 323,91 3021,918345 3020,298795 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-30 9,3285 9,3235 325,55 325,55 3036,893175 3035,265425 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-08-31 9,3585 9,3535 326,83 326,83 3058,638555 3057,004405 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-01 9,3365 9,3315 329,84 329,84 3079,55116 3077,90196 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-02 9,3025 9,2975 330,05 330,05 3070,290125 3068,639875 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-05 9,2845 9,2795 330,51 330,51 3068,620095 3066,967545 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-06 9,3225 9,3175 331,19 331,19 3087,518775 3085,862825 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-07 9,3075 9,3025 333,52 333,52 3104,2374 3102,5698 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-08 9,3255 9,3205 334,4 334,4 3118,4472 3116,7752 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-09 9,3445 9,3395 335,86 335,86 3138,44377 3136,76447 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-12 9,3015 9,2965 338,5 338,5 3148,55775 3146,86525 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-13 9,3015 9,2965 336,37 336,37 3128,745555 3127,063705 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-14 9,3365 9,3315 337,69 337,69 3152,842685 3151,154235 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-15 9,3425 9,3375 337,65 337,65 3154,495125 3152,806875 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-16 9,3465 9,3415 339,7 339,7 3175,00605 3173,30755 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-19 9,3355 9,3305 340,31 340,31 3176,964005 3175,262455 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-20 9,3395 9,3345 342,32 342,32 3197,09764 3195,38604 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-21 9,3405 9,3355 341,55 341,55 3190,247775 3188,540025 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-22 9,3405 9,3355 340,38 340,38 3179,31939 3177,61749 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-23 9,3695 9,3645 341,04 341,04 3195,37428 3193,66908 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-26 9,3815 9,3765 343,22 343,22 3219,91843 3218,20233 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-27 9,3885 9,3835 343,15 343,15 3221,663775 3219,948025 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-28 9,3935 9,3885 344,49 344,49 3235,966815 3234,244365 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-29 9,3845 9,3795 344,94 344,94 3237,08943 3235,36473 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-09-30 9,3435 9,3385 346,94 346,94 3241,63389 3239,89919 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-03 9,3025 9,2975 349,44 349,44 3250,6656 3248,9184 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-04 9,3185 9,3135 351,21 351,21 3272,750385 3270,994335 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-05 9,3105 9,3055 348,59 348,59 3245,547195 3243,804245 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-06 9,3015 9,2965 343,66 343,66 3196,55349 3194,83519 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-07 9,3385 9,3335 342,84 342,84 3201,61134 3199,89714 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-10 9,3465 9,3415 343,34 343,34 3209,02731 3207,31061 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-11 9,3395 9,3345 344,16 344,16 3214,28232 3212,56152 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-12 9,3375 9,3325 342,66 342,66 3199,58775 3197,87445 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-13 9,3815 9,3765 334,46 334,46 3137,73649 3136,06419 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-14 9,4135 9,4085 332,9 332,9 3133,75415 3132,08965 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-17 9,4575 9,4525 334,42 334,42 3162,77715 3161,10505 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-18 9,4625 9,4575 332,92 332,92 3150,2555 3148,5909 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-19 9,4605 9,4555 325,36 325,36 3078,06828 3076,44148 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-20 9,4935 9,4885 327,49 327,49 3109,026315 3107,388865 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-21 9,4915 9,4865 324,9 324,9 3083,78835 3082,16385 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-24 9,5455 9,5405 329,51 329,51 3145,337705 3143,690155 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-25 9,5465 9,5415 329,71 329,71 3147,576515 3145,927965 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-26 9,4975 9,4925 330,73 330,73 3141,108175 3139,454525 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-27 9,5355 9,5305 325,28 325,28 3101,70744 3100,08104 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-28 9,5135 9,5085 324,62 324,62 3088,27237 3086,64927 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-10-31 9,5495 9,5445 331,15 331,15 3162,316925 3160,661175 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-02 9,5855 9,5805 332,08 332,08 3183,15284 3181,49244 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-03 9,6515 9,6465 333,72 333,72 3220,89858 3219,22998 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-04 9,5875 9,5825 333,89 333,89 3201,170375 3199,500925 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-07 9,6075 9,6025 335,14 335,14 3219,85755 3218,18185 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-08 9,5685 9,5635 334,18 334,18 3197,60133 3195,93043 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-09 9,5575 9,5525 334,06 334,06 3192,77845 3191,10815 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-10 9,6105 9,6055 334,34 334,34 3213,17457 3211,50287 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-14 9,5505 9,5455 336,13 336,13 3210,209565 3208,528915 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-15 9,5805 9,5755 335,07 335,07 3210,138135 3208,462785 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-16 9,6235 9,6185 333,64 333,64 3210,78454 3209,11634 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-17 9,6355 9,6305 334,7 334,7 3225,00185 3223,32835 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-18 9,6085 9,6035 335,75 335,75 3226,053875 3224,375125 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-21 9,5915 9,5865 336,11 336,11 3223,799065 3222,118515 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-22 9,5585 9,5535 337,13 337,13 3222,457105 3220,771455 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-23 9,5155 9,5105 337,87 337,87 3215,001985 3213,312635 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-24 9,5125 9,5075 337,67 337,67 3212,085875 3210,397525 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-25 9,4965 9,4915 339,29 339,29 3222,067485 3220,371035 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-28 9,4835 9,4785 338,78 338,78 3212,82013 3211,12623 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-29 9,4785 9,4735 338,81 338,81 3211,410585 3209,716535 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-11-30 9,5295 9,5245 339,27 339,27 3233,073465 3231,377115 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-01 9,5165 9,5115 341,77 341,77 3252,454205 3250,745355 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-02 9,4905 9,4855 343,86 343,86 3263,40333 3261,68403 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-05 9,4065 9,4015 344,18 344,18 3237,52917 3235,80827 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-06 9,4185 9,4135 345,16 345,16 3250,88946 3249,16366 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-07 9,4255 9,4205 345,81 345,81 3259,432155 3257,703105 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-08 9,3965 9,3915 345,38 345,38 3245,36317 3243,63627 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-12 9,4315 9,4265 346,82 346,82 3271,03283 3269,29873 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-13 9,4295 9,4245 347,07 347,07 3272,696565 3270,961215 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-14 9,4365 9,4315 346,01 346,01 3265,123365 3263,393315 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-15 9,4345 9,4295 346,34 346,34 3267,54473 3265,81303 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-16 9,4765 9,4715 346,67 346,67 3285,218255 3283,484905 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-19 9,4535 9,4485 346,46 346,46 3275,25961 3273,52731 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-20 9,4015 9,3965 347,13 347,13 3263,542695 3261,807045 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-21 9,4485 9,4435 348,23 348,23 3290,251155 3288,510005 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-22 9,4365 9,4315 348,69 348,69 3290,413185 3288,669735 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-23 9,4425 9,4375 348,9 348,9 3294,48825 3292,74375 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-27 9,4915 9,4865 349,85 349,85 3320,601275 3318,852025 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-28 9,4345 9,4295 349,8 349,8 3300,1881 3298,4391 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-29 9,4115 9,4065 351,49 351,49 3308,048135 3306,290685 496554 IXIS Asset Management S.A. IXIS AM Europe Small Cap EUR 2005-12-30 9,4325 9,4275 351,67 351,67 3317,127275 3315,368925 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-03 6,668 6,658 78,28 78,28 521,97104 521,18824 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-04 6,728 6,718 77,62 77,62 522,22736 521,45116 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-05 6,828 6,818 76,73 76,73 523,91244 523,14514 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-07 6,87 6,86 77,02 77,02 529,1274 528,3572 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-10 6,96091 6,95091 76,93 76,93 535,5028063 534,7335063 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-11 6,96091 6,95091 76,75 76,75 534,2498425 533,4823425 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-12 6,913 6,903 76,56 76,56 529,25928 528,49368 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-13 6,843 6,833 76,84 76,84 525,81612 525,04772 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-14 6,915 6,905 76,36 76,36 528,0294 527,2658 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-18 6,968 6,958 76,45 76,45 532,7036 531,9391 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-19 6,91 6,9 77,28 77,28 534,0048 533,232 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-20 6,96 6,95 76,34 76,34 531,3264 530,563 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-21 6,978 6,968 76,34 76,34 532,70052 531,93712 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-24 6,933 6,923 75,98 75,98 526,76934 526,00954 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-25 6,95 6,94 76,25 76,25 529,9375 529,175 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-26 6,995 6,985 76,22 76,22 533,1589 532,3967 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-27 6,93 6,92 76,34 76,34 529,0362 528,2728 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-28 6,985 6,975 76,31 76,31 533,02535 532,26225 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-01-31 6,998 6,988 76,68 76,68 536,60664 535,83984 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-01 6,993 6,983 76,81 76,81 537,13233 536,36423 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-02 6,953 6,943 77,14 77,14 536,35442 535,58302 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-03 6,968 6,958 77,23 77,23 538,13864 537,36634 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-04 7,01 7 77,3 77,3 541,873 541,1 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-07 7,065 7,055 77,76 77,76 549,3744 548,5968 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-08 7,123 7,113 77,83 77,83 554,38309 553,60479 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-09 7,1 7,09 77,77 77,77 552,167 551,3893 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-10 7,088 7,078 77,37 77,37 548,39856 547,62486 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-11 7,068 7,058 77,26 77,26 546,07368 545,30108 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-14 7,03 7,02 77,69 77,69 546,1607 545,3838 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-15 7,005 6,995 77,9 77,9 545,6895 544,9105 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-16 6,973 6,963 77,83 77,83 542,70859 541,93029 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-17 6,97 6,96 77,93 77,93 543,1721 542,3928 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-18 6,965 6,955 77,28 77,28 538,2552 537,4824 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-22 6,905 6,895 77,09 77,09 532,30645 531,53555 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-23 6,895 6,885 76,6 76,6 528,157 527,391 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-24 6,858 6,848 76,6 76,6 525,3228 524,5568 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-25 6,885 6,875 77,24 77,24 531,7974 531,025 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-02-28 6,828 6,818 77,84 77,84 531,49152 530,71312 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-01 6,87 6,86 77,74 77,74 534,0738 533,2964 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-02 6,888 6,878 77,74 77,74 535,47312 534,69572 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-03 6,903 6,893 78,34 78,34 540,78102 539,99762 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-04 6,9 6,89 78,52 78,52 541,788 541,0028 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-07 6,84 6,83 79,09 79,09 540,9756 540,1847 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-08 6,825 6,815 79,03 79,03 539,37975 538,58945 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-09 6,76 6,75 78,66 78,66 531,7416 530,955 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-10 6,745 6,735 78,39 78,39 528,74055 527,95665 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-11 6,765 6,755 78,5 78,5 531,0525 530,2675 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-14 6,76 6,75 77,74 77,74 525,5224 524,745 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-15 6,815 6,805 78,28 78,28 533,4782 532,6954 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-16 6,81 6,8 77,33 77,33 526,6173 525,844 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-17 6,795 6,785 77,08 77,08 523,7586 522,9878 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-18 6,828 6,818 77,12 77,12 526,57536 525,80416 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-21 6,908 6,898 76,96 76,96 531,63968 530,87008 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-22 6,928 6,918 76,94 76,94 533,04032 532,27092 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-23 6,973 6,963 75,79 75,79 528,48367 527,72577 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-24 7,008 6,998 76,23 76,23 534,21984 533,45754 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-29 7,055 7,045 76,08 76,08 536,7444 535,9836 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-30 7,053 7,043 75,57 75,57 532,99521 532,23951 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-03-31 7,065 7,055 76,63 76,63 541,39095 540,62465 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-01 7,07 7,06 76,61 76,61 541,6327 540,8666 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-04 7,113 7,103 75,9 75,9 539,8767 539,1177 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-05 7,163 7,153 76,73 76,73 549,61699 548,84969 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-06 7,125 7,115 76,72 76,72 546,63 545,8628 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-07 7,083 7,073 76,65 76,65 542,91195 542,14545 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-08 7,153 7,143 77,06 77,06 551,21018 550,43958 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-11 7,098 7,088 76,4 76,4 542,2872 541,5232 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-12 7,048 7,038 75,99 75,99 535,57752 534,81762 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-13 7,075 7,065 76,66 76,66 542,3695 541,6029 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-14 7,12 7,11 76,07 76,07 541,6184 540,8577 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-15 7,17 7,16 75,17 75,17 538,9689 538,2172 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-18 7,08 7,07 74,24 74,24 525,6192 524,8768 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-19 7,068 7,058 74,52 74,52 526,70736 525,96216 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-20 7,043 7,033 74,22 74,22 522,73146 521,98926 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-21 7,025 7,015 74,37 74,37 522,44925 521,70555 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-22 7,023 7,013 74,65 74,65 524,26695 523,52045 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-25 7,04 7,03 74,68 74,68 525,7472 525,0004 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-26 7,035 7,025 74,68 74,68 525,3738 524,627 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-27 7,085 7,075 73,85 73,85 523,22725 522,48875 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-28 7,085 7,075 74,04 74,04 524,5734 523,833 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-04-29 7,08 7,07 74,18 74,18 525,1944 524,4526 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-02 7,15 7,14 74,99 74,99 536,1785 535,4286 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-03 7,178 7,168 74,83 74,83 537,12974 536,38144 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-04 7,11 7,1 75 75 533,25 532,5 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-06 7,085 7,075 75,8 75,8 537,043 536,285 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-09 7,168 7,158 75,59 75,59 541,82912 541,07322 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-10 7,178 7,168 75,43 75,43 541,43654 540,68224 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-11 7,15 7,14 75,08 75,08 536,822 536,0712 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-12 7,243 7,233 75,22 75,22 544,81846 544,06626 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-13 7,265 7,255 74,39 74,39 540,44335 539,69945 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-16 7,32 7,31 74,36 74,36 544,3152 543,5716 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-17 7,313 7,303 74,69 74,69 546,20797 545,46107 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-18 7,3 7,29 75,61 75,61 551,953 551,1969 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-19 7,26 7,25 76,22 76,22 553,3572 552,595 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-20 7,28 7,27 76,34 76,34 555,7552 554,9918 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-23 7,32 7,31 76,58 76,58 560,5656 559,7998 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-24 7,295 7,285 76,59 76,59 558,72405 557,95815 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-25 7,298 7,288 76,5 76,5 558,297 557,532 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-26 7,33 7,32 76,71 76,71 562,2843 561,5172 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-27 7,338 7,328 76,95 76,95 564,6591 563,8896 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-05-31 7,403 7,393 76,87 76,87 569,06861 568,29991 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-01 7,428 7,418 76,86 76,86 570,91608 570,14748 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-02 7,473 7,463 77,31 77,31 577,73763 576,96453 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-03 7,438 7,428 77,37 77,37 575,47806 574,70436 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-07 7,448 7,438 77,44 77,44 576,77312 575,99872 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-08 7,435 7,425 77,11 77,11 573,31285 572,54175 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-09 7,523 7,513 76,72 76,72 577,16456 576,39736 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-10 7,525 7,515 76,88 76,88 578,522 577,7532 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-13 7,643 7,633 76,88 76,88 587,59384 586,82504 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-14 7,663 7,653 77,31 77,31 592,42653 591,65343 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-15 7,693 7,683 77,48 77,48 596,05364 595,27884 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-16 7,678 7,668 77,48 77,48 594,89144 594,11664 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-17 7,643 7,633 78,1 78,1 596,9183 596,1373 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-20 7,543 7,533 78,13 78,13 589,33459 588,55329 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-21 7,648 7,638 78,17 78,17 597,84416 597,06246 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-22 7,608 7,598 78,46 78,46 596,92368 596,13908 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-23 7,73 7,72 78,22 78,22 604,6406 603,8584 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-27 7,73 7,72 76,91 76,91 594,5143 593,7452 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-28 7,76 7,75 77,26 77,26 599,5376 598,765 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-29 7,833 7,823 77,44 77,44 606,58752 605,81312 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-06-30 7,823 7,813 77,43 77,43 605,73489 604,96059 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-01 7,858 7,848 77,12 77,12 606,00896 605,23776 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-05 7,963 7,953 77,04 77,04 613,46952 612,69912 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-06 7,895 7,885 77,66 77,66 613,1257 612,3491 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-07 7,878 7,868 76,41 76,41 601,95798 601,19388 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-08 7,913 7,903 77,35 77,35 612,07055 611,29705 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-11 7,89 7,88 78,16 78,16 616,6824 615,9008 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-12 7,77 7,76 78,42 78,42 609,3234 608,5392 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-13 7,703 7,693 78,55 78,55 605,07065 604,28515 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-14 7,76 7,75 78,91 78,91 612,3416 611,5525 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-15 7,76 7,75 78,55 78,55 609,548 608,7625 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-18 7,78 7,77 78,36 78,36 609,6408 608,8572 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-19 7,878 7,868 78,37 78,37 617,39886 616,61516 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-20 7,818 7,808 78,49 78,49 613,63482 612,84992 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-21 7,775 7,765 78,85 78,85 613,05875 612,27025 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-22 7,758 7,748 78,83 78,83 611,56314 610,77484 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-25 7,838 7,828 78,87 78,87 618,18306 617,39436 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-26 7,818 7,808 78,55 78,55 614,1039 613,3184 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-27 7,905 7,895 78,7 78,7 622,1235 621,3365 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-28 7,848 7,838 79,04 79,04 620,30592 619,51552 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-07-29 7,748 7,738 79,31 79,31 614,49388 613,70078 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-01 7,72 7,71 78,94 78,94 609,4168 608,6274 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-02 7,7 7,69 79,06 79,06 608,762 607,9714 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-03 7,685 7,675 79,15 79,15 608,26775 607,47625 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-04 7,618 7,608 79,07 79,07 602,35526 601,56456 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-05 7,548 7,538 78,71 78,71 594,10308 593,31598 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-08 7,558 7,548 78,66 78,66 594,51228 593,72568 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-09 7,548 7,538 78,54 78,54 592,81992 592,03452 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-10 7,558 7,548 78,95 78,95 596,7041 595,9146 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-11 7,523 7,513 78,79 78,79 592,73717 591,94927 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-12 7,46 7,45 78,97 78,97 589,1162 588,3265 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-15 7,508 7,498 78,73 78,73 591,10484 590,31754 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-16 7,523 7,513 78,85 78,85 593,18855 592,40005 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-17 7,605 7,595 78,14 78,14 594,2547 593,4733 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-18 7,61 7,6 78,05 78,05 593,9605 593,18 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-19 7,698 7,688 78,25 78,25 602,3685 601,586 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-22 7,69 7,68 78,65 78,65 604,8185 604,032 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-23 7,663 7,653 78,14 78,14 598,78682 598,00542 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-24 7,673 7,663 77,97 77,97 598,26381 597,48411 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-25 7,588 7,578 77,59 77,59 588,75292 587,97702 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-26 7,578 7,568 77,45 77,45 586,9161 586,1416 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-29 7,573 7,563 77,07 77,07 583,65111 582,88041 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-30 7,633 7,623 77,33 77,33 590,25989 589,48659 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-08-31 7,668 7,658 77,43 77,43 593,73324 592,95894 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-01 7,568 7,558 78,07 78,07 590,83376 590,05306 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-02 7,435 7,425 78,08 78,08 580,5248 579,744 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-06 7,485 7,475 78,22 78,22 585,4767 584,6945 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-07 7,43 7,42 78,66 78,66 584,4438 583,6572 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-08 7,498 7,488 78,55 78,55 588,9679 588,1824 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-09 7,523 7,513 78,66 78,66 591,75918 590,97258 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-12 7,555 7,545 79,14 79,14 597,9027 597,1113 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-13 7,57 7,56 78,8 78,8 596,516 595,728 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-14 7,61 7,6 78 78 593,58 592,8 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-15 7,658 7,648 77,88 77,88 596,40504 595,62624 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-16 7,613 7,603 77,95 77,95 593,43335 592,65385 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-19 7,698 7,688 78,23 78,23 602,21454 601,43224 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-20 7,688 7,678 78,05 78,05 600,0484 599,2679 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-21 7,663 7,653 77,08 77,08 590,66404 589,89324 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-22 7,648 7,638 76,71 76,71 586,67808 585,91098 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-23 7,733 7,723 76,79 76,79 593,81707 593,04917 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-26 7,798 7,788 77,38 77,38 603,40924 602,63544 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-27 7,825 7,815 77,28 77,28 604,716 603,9432 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-28 7,81 7,8 77,56 77,56 605,7436 604,968 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-29 7,785 7,775 77,03 77,03 599,67855 598,90825 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-09-30 7,785 7,775 77,96 77,96 606,9186 606,139 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-03 7,783 7,773 78,09 78,09 607,77447 606,99357 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-04 7,82 7,81 77,37 77,37 605,0334 604,2597 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-05 7,795 7,785 76,49 76,49 596,23955 595,47465 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-06 7,713 7,703 75,82 75,82 584,79966 584,04146 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-07 7,683 7,673 75,84 75,84 582,67872 581,92032 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-10 7,698 7,688 75,5 75,5 581,199 580,444 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-11 7,77 7,76 75,51 75,51 586,7127 585,9576 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-12 7,805 7,795 75,35 75,35 588,10675 587,35325 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-13 7,83 7,82 74,22 74,22 581,1426 580,4004 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-14 7,833 7,823 74,32 74,32 582,14856 581,40536 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-17 7,835 7,825 74,96 74,96 587,3116 586,562 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-18 7,893 7,883 74,59 74,59 588,73887 587,99297 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-19 7,96 7,95 73,66 73,66 586,3336 585,597 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-20 7,93 7,92 75,13 75,13 595,7809 595,0296 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-21 7,883 7,873 74,6 74,6 588,0718 587,3258 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-24 7,995 7,985 75,23 75,23 601,46385 600,71155 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-25 7,99 7,98 75,53 75,53 603,4847 602,7294 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-26 7,868 7,858 75,27 75,27 592,22436 591,47166 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-27 7,868 7,858 74,65 74,65 587,3462 586,5997 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-28 7,825 7,815 74,16 74,16 580,302 579,5604 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-10-31 7,905 7,895 75,5 75,5 596,8275 596,0725 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-01 7,963 7,953 75,02 75,02 597,38426 596,63406 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-02 7,98 7,97 75,22 75,22 600,2556 599,5034 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-03 8,01 8 76,24 76,24 610,6824 609,92 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-04 8,028 8,018 76,41 76,41 613,41948 612,65538 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-07 8,135 8,125 76,22 76,22 620,0497 619,2875 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-08 8,17 8,16 75,83 75,83 619,5311 618,7728 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-09 8,12 8,11 75,92 75,92 616,4704 615,7112 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-10 8,173 8,163 76,02 76,02 621,31146 620,55126 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-11 8,235 8,225 76,97 76,97 633,84795 633,07825 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-14 8,133 8,123 77,06 77,06 626,72898 625,95838 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-15 8,185 8,175 77,02 77,02 630,4087 629,6385 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-16 8,21 8,2 77,04 77,04 632,4984 631,728 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-17 8,258 8,248 77,38 77,38 639,00404 638,23024 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-18 8,223 8,213 78,04 78,04 641,72292 640,94252 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-21 8,123 8,113 78,12 78,12 634,56876 633,78756 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-22 8,15 8,14 78,57 78,57 640,3455 639,5598 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-23 8,048 8,038 79,19 79,19 637,32112 636,52922 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-25 8,078 8,068 79,47 79,47 641,95866 641,16396 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-28 8,118 8,108 79,11 79,11 642,21498 641,42388 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-29 8,015 8,005 78,85 78,85 631,98275 631,19425 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-11-30 8,088 8,078 78,55 78,55 635,3124 634,5269 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-01 8,083 8,073 78,71 78,71 636,21293 635,42583 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-02 8,103 8,093 78,99 78,99 640,05597 639,26607 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-05 8,045 8,035 78,99 78,99 635,47455 634,68465 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-06 7,993 7,983 79,12 79,12 632,40616 631,61496 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-07 8,015 8,005 79,25 79,25 635,18875 634,39625 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-08 7,988 7,978 78,9 78,9 630,2532 629,4642 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-12 7,953 7,943 79,48 79,48 632,10444 631,30964 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-13 7,905 7,895 79,29 79,29 626,78745 625,99455 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-14 7,848 7,838 79,75 79,75 625,878 625,0805 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-15 7,858 7,848 79,78 79,78 626,91124 626,11344 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-16 7,903 7,893 79,83 79,83 630,89649 630,09819 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-19 7,865 7,855 79,3 79,3 623,6945 622,9015 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-20 7,848 7,838 79 79 619,992 619,202 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-21 7,948 7,938 79,33 79,33 630,51484 629,72154 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-22 7,98 7,97 79,2 79,2 632,016 631,224 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-23 7,955 7,945 79,6 79,6 633,218 632,422 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-27 8,01 8 79,63 79,63 637,8363 637,04 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-28 7,915 7,905 78,91 78,91 624,57265 623,78355 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-29 7,938 7,928 79,14 79,14 628,21332 627,42192 341073 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - America Equity Fund USD 2005-12-30 7,958 7,948 78,74 78,74 626,61292 625,82552 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-03 6,668 6,658 28,58 28,58 190,57144 190,28564 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-04 6,728 6,718 28,34 28,34 190,67152 190,38812 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-05 6,828 6,818 27,93 27,93 190,70604 190,42674 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-07 6,87 6,86 27,68 27,68 190,1616 189,8848 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-10 6,96091 6,95091 27,66 27,66 192,5387706 192,2621706 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-11 6,96091 6,95091 27,79 27,79 193,4436889 193,1657889 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-12 6,913 6,903 27,84 27,84 192,45792 192,17952 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-13 6,843 6,833 28 28 191,604 191,324 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-14 6,915 6,905 28,03 28,03 193,82745 193,54715 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-17 6,915 6,905 28,57 28,57 197,56155 197,27585 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-18 6,968 6,958 28,51 28,51 198,65768 198,37258 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-19 6,91 6,9 28,51 28,51 197,0041 196,719 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-20 6,96 6,95 28,33 28,33 197,1768 196,8935 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-21 6,978 6,968 28,23 28,23 196,98894 196,70664 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-24 6,933 6,923 28,14 28,14 195,09462 194,81322 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-25 6,95 6,94 28,29 28,29 196,6155 196,3326 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-26 6,995 6,985 28,5 28,5 199,3575 199,0725 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-27 6,93 6,92 28,48 28,48 197,3664 197,0816 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-28 6,985 6,975 28,65 28,65 200,12025 199,83375 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-01-31 6,998 6,988 28,85 28,85 201,8923 201,6038 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-01 6,993 6,983 28,68 28,68 200,55924 200,27244 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-02 6,953 6,943 28,83 28,83 200,45499 200,16669 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-03 6,968 6,958 28,9 28,9 201,3752 201,0862 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-04 7,01 7 28,99 28,99 203,2199 202,93 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-07 7,065 7,055 29,31 29,31 207,07515 206,78205 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-14 7,03 7,02 29,62 29,62 208,2286 207,9324 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-15 7,005 6,995 29,65 29,65 207,69825 207,40175 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-16 6,973 6,963 29,59 29,59 206,33107 206,03517 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-17 6,97 6,96 29,44 29,44 205,1968 204,9024 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-18 6,965 6,955 29,74 29,74 207,1391 206,8417 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-21 6,978 6,968 29,77 29,77 207,73506 207,43736 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-22 6,905 6,895 29,85 29,85 206,11425 205,81575 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-23 6,895 6,885 29,7 29,7 204,7815 204,4845 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-24 6,858 6,848 30 30 205,74 205,44 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-25 6,885 6,875 30,16 30,16 207,6516 207,35 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-02-28 6,828 6,818 30,33 30,33 207,09324 206,78994 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-01 6,87 6,86 30,3 30,3 208,161 207,858 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-02 6,888 6,878 30,04 30,04 206,91552 206,61512 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-03 6,903 6,893 30,05 30,05 207,43515 207,13465 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-04 6,9 6,89 29,89 29,89 206,241 205,9421 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-07 6,84 6,83 30,02 30,02 205,3368 205,0366 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-08 6,825 6,815 30,02 30,02 204,8865 204,5863 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-09 6,76 6,75 30,25 30,25 204,49 204,1875 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-10 6,745 6,735 30,02 30,02 202,4849 202,1847 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-11 6,765 6,755 30,25 30,25 204,64125 204,33875 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-14 6,76 6,75 30,05 30,05 203,138 202,8375 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-15 6,815 6,805 29,61 29,61 201,79215 201,49605 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-16 6,81 6,8 29,83 29,83 203,1423 202,844 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-17 6,795 6,785 29,77 29,77 202,28715 201,98945 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-18 6,828 6,818 29,83 29,83 203,67924 203,38094 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-21 6,908 6,898 29,7 29,7 205,1676 204,8706 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-22 6,928 6,918 29,54 29,54 204,65312 204,35772 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-23 6,973 6,963 29,18 29,18 203,47214 203,18034 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-24 7,008 6,998 29,02 29,02 203,37216 203,08196 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-29 7,055 7,045 28,65 28,65 202,12575 201,83925 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-30 7,053 7,043 28,53 28,53 201,22209 200,93679 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-03-31 7,065 7,055 28,92 28,92 204,3198 204,0306 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-01 7,07 7,06 29,2 29,2 206,444 206,152 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-04 7,113 7,103 29,08 29,08 206,84604 206,55524 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-06 7,125 7,115 29,19 29,19 207,97875 207,68685 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-07 7,083 7,073 29,27 29,27 207,31941 207,02671 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-08 7,153 7,143 29,34 29,34 209,86902 209,57562 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-11 7,098 7,088 29,3 29,3 207,9714 207,6784 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-12 7,048 7,038 29,36 29,36 206,92928 206,63568 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-13 7,075 7,065 29,45 29,45 208,35875 208,06425 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-14 7,12 7,11 29,07 29,07 206,9784 206,6877 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-15 7,17 7,16 28,8 28,8 206,496 206,208 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-18 7,08 7,07 28,16 28,16 199,3728 199,0912 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-19 7,068 7,058 28,38 28,38 200,58984 200,30604 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-20 7,043 7,033 28,49 28,49 200,65507 200,37017 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-21 7,025 7,015 28,6 28,6 200,915 200,629 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-22 7,023 7,013 28,79 28,79 202,19217 201,90427 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-25 7,04 7,03 28,85 28,85 203,104 202,8155 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-26 7,035 7,025 28,96 28,96 203,7336 203,444 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-27 7,085 7,075 28,76 28,76 203,7646 203,477 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-28 7,085 7,075 28,66 28,66 203,0561 202,7695 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-04-29 7,08 7,07 28,61 28,61 202,5588 202,2727 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-03 7,178 7,168 28,69 28,69 205,93682 205,64992 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-04 7,11 7,1 28,99 28,99 206,1189 205,829 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-06 7,085 7,075 29,39 29,39 208,22815 207,93425 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-09 7,168 7,158 29,43 29,43 210,95424 210,65994 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-10 7,178 7,168 29,3 29,3 210,3154 210,0224 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-11 7,15 7,14 29,1 29,1 208,065 207,774 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-12 7,243 7,233 29,05 29,05 210,40915 210,11865 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-13 7,265 7,255 29,02 29,02 210,8303 210,5401 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-16 7,32 7,31 28,96 28,96 211,9872 211,6976 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-17 7,313 7,303 28,8 28,8 210,6144 210,3264 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-18 7,3 7,29 28,86 28,86 210,678 210,3894 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-19 7,26 7,25 29,21 29,21 212,0646 211,7725 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-20 7,28 7,27 29,15 29,15 212,212 211,9205 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-24 7,295 7,285 29,11 29,11 212,35745 212,06635 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-25 7,298 7,288 28,84 28,84 210,47432 210,18592 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-26 7,33 7,32 28,86 28,86 211,5438 211,2552 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-27 7,338 7,328 29,26 29,26 214,70988 214,41728 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-30 7,338 7,328 29,34 29,34 215,29692 215,00352 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-05-31 7,403 7,393 29,28 29,28 216,75984 216,46704 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-01 7,428 7,418 29,12 29,12 216,30336 216,01216 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-02 7,473 7,463 29,15 29,15 217,83795 217,54645 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-03 7,438 7,428 29,28 29,28 217,78464 217,49184 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-07 7,448 7,438 29,39 29,39 218,89672 218,60282 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-08 7,435 7,425 29,49 29,49 219,25815 218,96325 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-09 7,523 7,513 29,51 29,51 222,00373 221,70863 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-10 7,525 7,515 29,7 29,7 223,4925 223,1955 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-13 7,643 7,633 29,7 29,7 226,9971 226,7001 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-14 7,663 7,653 29,64 29,64 227,13132 226,83492 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-15 7,693 7,683 29,81 29,81 229,32833 229,03023 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-16 7,678 7,668 29,86 29,86 229,26508 228,96648 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-17 7,643 7,633 30,02 30,02 229,44286 229,14266 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-20 7,543 7,533 29,98 29,98 226,13914 225,83934 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-21 7,648 7,638 29,91 29,91 228,75168 228,45258 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-22 7,608 7,598 30,21 30,21 229,83768 229,53558 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-23 7,73 7,72 30,36 30,36 234,6828 234,3792 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-27 7,73 7,72 29,95 29,95 231,5135 231,214 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-28 7,76 7,75 29,92 29,92 232,1792 231,88 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-29 7,833 7,823 29,86 29,86 233,89338 233,59478 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-06-30 7,823 7,813 29,79 29,79 233,04717 232,74927 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-01 7,858 7,848 29,97 29,97 235,50426 235,20456 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-04 7,945 7,935 29,91 29,91 237,63495 237,33585 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-05 7,963 7,953 29,65 29,65 236,10295 235,80645 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-06 7,895 7,885 29,77 29,77 235,03415 234,73645 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-07 7,878 7,868 29,63 29,63 233,42514 233,12884 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-08 7,913 7,903 29,58 29,58 234,06654 233,77074 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-11 7,89 7,88 30,13 30,13 237,7257 237,4244 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-12 7,77 7,76 30,51 30,51 237,0627 236,7576 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-13 7,703 7,693 30,68 30,68 236,32804 236,02124 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-14 7,76 7,75 30,95 30,95 240,172 239,8625 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-15 7,76 7,75 30,8 30,8 239,008 238,7 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-18 7,78 7,77 30,91 30,91 240,4798 240,1707 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-19 7,878 7,868 31,08 31,08 244,84824 244,53744 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-20 7,818 7,808 31,17 31,17 243,68706 243,37536 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-21 7,775 7,765 31,53 31,53 245,14575 244,83045 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-22 7,758 7,748 31,67 31,67 245,69586 245,37916 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-25 7,838 7,828 31,75 31,75 248,8565 248,539 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-26 7,818 7,808 31,54 31,54 246,57972 246,26432 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-27 7,905 7,895 31,61 31,61 249,87705 249,56095 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-28 7,848 7,838 31,86 31,86 250,03728 249,71868 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-07-29 7,748 7,738 32,06 32,06 248,40088 248,08028 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-01 7,72 7,71 32,23 32,23 248,8156 248,4933 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-02 7,7 7,69 32,45 32,45 249,865 249,5405 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-03 7,685 7,675 32,6 32,6 250,531 250,205 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-04 7,618 7,608 32,57 32,57 248,11826 247,79256 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-05 7,548 7,538 32,17 32,17 242,81916 242,49746 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-08 7,558 7,548 32,13 32,13 242,83854 242,51724 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-10 7,558 7,548 32,36 32,36 244,57688 244,25328 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-11 7,523 7,513 32,53 32,53 244,72319 244,39789 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-12 7,46 7,45 32,57 32,57 242,9722 242,6465 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-15 7,508 7,498 32,39 32,39 243,18412 242,86022 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-16 7,523 7,513 32,11 32,11 241,56353 241,24243 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-17 7,605 7,595 31,91 31,91 242,67555 242,35645 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-18 7,61 7,6 31,45 31,45 239,3345 239,02 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-19 7,698 7,688 31,29 31,29 240,87042 240,55752 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-22 7,69 7,68 31,7 31,7 243,773 243,456 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-23 7,663 7,653 31,5 31,5 241,3845 241,0695 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-24 7,673 7,663 31,16 31,16 239,09068 238,77908 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-25 7,588 7,578 31,15 31,15 236,3662 236,0547 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-26 7,578 7,568 31,22 31,22 236,58516 236,27296 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-29 7,573 7,563 30,78 30,78 233,09694 232,78914 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-30 7,633 7,623 30,87 30,87 235,63071 235,32201 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-08-31 7,668 7,658 30,92 30,92 237,09456 236,78536 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-01 7,568 7,558 31,38 31,38 237,48384 237,17004 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-02 7,435 7,425 31,6 31,6 234,946 234,63 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-05 7,41 7,4 31,64 31,64 234,4524 234,136 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-06 7,485 7,475 31,7 31,7 237,2745 236,9575 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-07 7,43 7,42 31,93 31,93 237,2399 236,9206 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-08 7,498 7,488 31,89 31,89 239,11122 238,79232 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-09 7,523 7,513 31,91 31,91 240,05893 239,73983 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-12 7,555 7,545 32,18 32,18 243,1199 242,7981 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-13 7,57 7,56 32,11 32,11 243,0727 242,7516 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-14 7,61 7,6 31,32 31,32 238,3452 238,032 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-15 7,658 7,648 31,21 31,21 239,00618 238,69408 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-16 7,613 7,603 31,04 31,04 236,30752 235,99712 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-20 7,688 7,678 31,24 31,24 240,17312 239,86072 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-21 7,663 7,653 31,17 31,17 238,85571 238,54401 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-22 7,648 7,638 30,92 30,92 236,47616 236,16696 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-23 7,733 7,723 30,51 30,51 235,93383 235,62873 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-26 7,798 7,788 30,83 30,83 240,41234 240,10404 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-27 7,825 7,815 30,9 30,9 241,7925 241,4835 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-28 7,81 7,8 31,1 31,1 242,891 242,58 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-29 7,785 7,775 31,31 31,31 243,74835 243,43525 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-09-30 7,785 7,775 31,44 31,44 244,7604 244,446 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-03 7,783 7,773 31,46 31,46 244,85318 244,53858 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-04 7,82 7,81 31,79 31,79 248,5978 248,2799 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-05 7,795 7,785 31,43 31,43 244,99685 244,68255 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-06 7,713 7,703 30,8 30,8 237,5604 237,2524 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-07 7,683 7,673 30,89 30,89 237,32787 237,01897 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-10 7,698 7,688 31,18 31,18 240,02364 239,71184 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-11 7,77 7,76 31,29 31,29 243,1233 242,8104 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-12 7,805 7,795 30,68 30,68 239,4574 239,1506 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-13 7,83 7,82 30,25 30,25 236,8575 236,555 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-14 7,833 7,823 30,12 30,12 235,92996 235,62876 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-17 7,835 7,825 29,9 29,9 234,2665 233,9675 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-18 7,893 7,883 29,97 29,97 236,55321 236,25351 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-19 7,96 7,95 29,32 29,32 233,3872 233,094 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-20 7,93 7,92 29,51 29,51 234,0143 233,7192 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-21 7,883 7,873 29,66 29,66 233,80978 233,51318 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-24 7,995 7,985 29,48 29,48 235,6926 235,3978 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-25 7,99 7,98 29,57 29,57 236,2643 235,9686 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-26 7,868 7,858 29,59 29,59 232,81412 232,51822 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-27 7,868 7,858 29,38 29,38 231,16184 230,86804 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-28 7,825 7,815 29,09 29,09 227,62925 227,33835 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-10-31 7,905 7,895 29,53 29,53 233,43465 233,13935 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-01 7,963 7,953 30,03 30,03 239,12889 238,82859 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-02 7,98 7,97 30,4 30,4 242,592 242,288 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-03 8,01 8 30,57 30,57 244,8657 244,56 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-04 8,028 8,018 30,63 30,63 245,89764 245,59134 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-07 8,135 8,125 30,37 30,37 247,05995 246,75625 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-08 8,17 8,16 30,37 30,37 248,1229 247,8192 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-09 8,12 8,11 30,52 30,52 247,8224 247,5172 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-10 8,173 8,163 30,53 30,53 249,52169 249,21639 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-11 8,235 8,225 30,96 30,96 254,9556 254,646 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-14 8,133 8,123 30,99 30,99 252,04167 251,73177 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-15 8,185 8,175 30,92 30,92 253,0802 252,771 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-16 8,21 8,2 31,01 31,01 254,5921 254,282 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-17 8,258 8,248 31,11 31,11 256,90638 256,59528 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-18 8,223 8,213 31,46 31,46 258,69558 258,38098 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-21 8,123 8,113 31,4 31,4 255,0622 254,7482 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-22 8,15 8,14 30,99 30,99 252,5685 252,2586 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-23 8,048 8,038 31,69 31,69 255,04112 254,72422 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-24 8,053 8,043 31,76 31,76 255,76328 255,44568 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-25 8,078 8,068 31,68 31,68 255,91104 255,59424 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-28 8,118 8,108 31,76 31,76 257,82768 257,51008 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-29 8,015 8,005 31,59 31,59 253,19385 252,87795 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-11-30 8,088 8,078 31,75 31,75 256,794 256,4765 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-01 8,083 8,073 31,91 31,91 257,92853 257,60943 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-02 8,103 8,093 32,11 32,11 260,18733 259,86623 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-05 8,045 8,035 32,29 32,29 259,77305 259,45015 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-06 7,993 7,983 32,22 32,22 257,53446 257,21226 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-07 8,015 8,005 32,35 32,35 259,28525 258,96175 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-08 7,988 7,978 32,15 32,15 256,8142 256,4927 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-12 7,953 7,943 32,35 32,35 257,27955 256,95605 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-13 7,905 7,895 32,65 32,65 258,09825 257,77175 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-14 7,848 7,838 32,7 32,7 256,6296 256,3026 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-15 7,858 7,848 32,82 32,82 257,89956 257,57136 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-16 7,903 7,893 32,77 32,77 258,98131 258,65361 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-19 7,865 7,855 33,1 33,1 260,3315 260,0005 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-20 7,848 7,838 33,13 33,13 260,00424 259,67294 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-21 7,948 7,938 33,21 33,21 263,95308 263,62098 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-22 7,98 7,97 33,16 33,16 264,6168 264,2852 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-23 7,955 7,945 33,51 33,51 266,57205 266,23695 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-27 8,01 8 33,68 33,68 269,7768 269,44 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-28 7,915 7,905 33,61 33,61 266,02315 265,68705 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-29 7,938 7,928 33,84 33,84 268,62192 268,28352 484394 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Asia Equity Fund USD 2005-12-30 7,958 7,948 33,75 33,75 268,5825 268,245 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-03 6,668 6,658 18,23 18,23 121,55764 121,37534 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-04 6,728 6,718 18,03 18,03 121,30584 121,12554 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-05 6,828 6,818 17,46 17,46 119,21688 119,04228 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-07 6,87 6,86 17,19 17,19 118,0953 117,9234 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-10 6,96091 6,95091 17,21 17,21 119,7972611 119,6251611 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-11 6,96091 6,95091 17,1 17,1 119,031561 118,860561 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-12 6,913 6,903 17,12 17,12 118,35056 118,17936 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-13 6,843 6,833 17,18 17,18 117,56274 117,39094 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-14 6,915 6,905 17 17 117,555 117,385 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-17 6,915 6,905 17,22 17,22 119,0763 118,9041 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-18 6,968 6,958 17,34 17,34 120,82512 120,65172 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-19 6,91 6,9 17,48 17,48 120,7868 120,612 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-20 6,96 6,95 17,4 17,4 121,104 120,93 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-21 6,978 6,968 17,32 17,32 120,85896 120,68576 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-24 6,933 6,923 17,23 17,23 119,45559 119,28329 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-25 6,95 6,94 17,31 17,31 120,3045 120,1314 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-26 6,995 6,985 17,53 17,53 122,62235 122,44705 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-27 6,93 6,92 17,57 17,57 121,7601 121,5844 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-28 6,985 6,975 17,68 17,68 123,4948 123,318 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-01-31 6,998 6,988 17,79 17,79 124,49442 124,31652 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-01 6,993 6,983 17,59 17,59 123,00687 122,83097 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-02 6,953 6,943 17,63 17,63 122,58139 122,40509 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-03 6,968 6,958 17,69 17,69 123,26392 123,08702 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-04 7,01 7 17,85 17,85 125,1285 124,95 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-07 7,065 7,055 18,04 18,04 127,4526 127,2722 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-08 7,123 7,113 18,08 18,08 128,78384 128,60304 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-14 7,03 7,02 18,22 18,22 128,0866 127,9044 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-15 7,005 6,995 18,18 18,18 127,3509 127,1691 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-16 6,973 6,963 18,32 18,32 127,74536 127,56216 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-17 6,97 6,96 18,18 18,18 126,7146 126,5328 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-18 6,965 6,955 18,3 18,3 127,4595 127,2765 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-21 6,978 6,968 18,32 18,32 127,83696 127,65376 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-22 6,905 6,895 18,25 18,25 126,01625 125,83375 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-23 6,895 6,885 18,13 18,13 125,00635 124,82505 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-24 6,858 6,848 18,19 18,19 124,74702 124,56512 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-25 6,885 6,875 18,27 18,27 125,78895 125,60625 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-02-28 6,828 6,818 18,42 18,42 125,77176 125,58756 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-01 6,87 6,86 18,38 18,38 126,2706 126,0868 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-02 6,888 6,878 18,03 18,03 124,19064 124,01034 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-03 6,903 6,893 18,07 18,07 124,73721 124,55651 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-04 6,9 6,89 17,85 17,85 123,165 122,9865 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-07 6,84 6,83 17,8 17,8 121,752 121,574 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-08 6,825 6,815 17,95 17,95 122,50875 122,32925 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-09 6,76 6,75 18,03 18,03 121,8828 121,7025 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-10 6,745 6,735 17,91 17,91 120,80295 120,62385 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-11 6,765 6,755 17,79 17,79 120,34935 120,17145 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-14 6,76 6,75 17,7 17,7 119,652 119,475 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-15 6,815 6,805 17,5 17,5 119,2625 119,0875 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-16 6,81 6,8 17,63 17,63 120,0603 119,884 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-17 6,795 6,785 17,5 17,5 118,9125 118,7375 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-18 6,828 6,818 17,45 17,45 119,1486 118,9741 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-21 6,908 6,898 17,41 17,41 120,26828 120,09418 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-22 6,928 6,918 17,21 17,21 119,23088 119,05878 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-23 6,973 6,963 17,05 17,05 118,88965 118,71915 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-24 7,008 6,998 16,94 16,94 118,71552 118,54612 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-29 7,055 7,045 16,86 16,86 118,9473 118,7787 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-30 7,053 7,043 16,8 16,8 118,4904 118,3224 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-03-31 7,065 7,055 16,91 16,91 119,46915 119,30005 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-01 7,07 7,06 16,9 16,9 119,483 119,314 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-04 7,113 7,103 16,88 16,88 120,06744 119,89864 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-06 7,125 7,115 17,09 17,09 121,76625 121,59535 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-07 7,083 7,073 17,08 17,08 120,97764 120,80684 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-08 7,153 7,143 17,19 17,19 122,96007 122,78817 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-11 7,098 7,088 17,13 17,13 121,58874 121,41744 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-12 7,048 7,038 17,05 17,05 120,1684 119,9979 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-13 7,075 7,065 17,28 17,28 122,256 122,0832 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-14 7,12 7,11 17,14 17,14 122,0368 121,8654 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-15 7,17 7,16 16,87 16,87 120,9579 120,7892 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-18 7,08 7,07 16,47 16,47 116,6076 116,4429 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-19 7,068 7,058 16,61 16,61 117,39948 117,23338 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-20 7,043 7,033 16,6 16,6 116,9138 116,7478 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-21 7,025 7,015 16,58 16,58 116,4745 116,3087 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-22 7,023 7,013 16,77 16,77 117,77571 117,60801 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-25 7,04 7,03 16,77 16,77 118,0608 117,8931 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-26 7,035 7,025 16,87 16,87 118,68045 118,51175 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-27 7,085 7,075 16,94 16,94 120,0199 119,8505 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-28 7,085 7,075 17 17 120,445 120,275 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-04-29 7,08 7,07 16,99 16,99 120,2892 120,1193 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-03 7,178 7,168 17 17 122,026 121,856 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-04 7,11 7,1 17,03 17,03 121,0833 120,913 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-06 7,085 7,075 17,08 17,08 121,0118 120,841 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-09 7,168 7,158 17,05 17,05 122,2144 122,0439 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-10 7,178 7,168 17,02 17,02 122,16956 121,99936 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-11 7,15 7,14 16,88 16,88 120,692 120,5232 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-12 7,243 7,233 16,89 16,89 122,33427 122,16537 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-13 7,265 7,255 16,74 16,74 121,6161 121,4487 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-17 7,313 7,303 16,45 16,45 120,29885 120,13435 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-18 7,3 7,29 16,44 16,44 120,012 119,8476 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-19 7,26 7,25 16,5 16,5 119,79 119,625 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-20 7,28 7,27 16,63 16,63 121,0664 120,9001 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-23 7,32 7,31 16,64 16,64 121,8048 121,6384 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-24 7,295 7,285 16,68 16,68 121,6806 121,5138 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-25 7,298 7,288 16,45 16,45 120,0521 119,8876 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-26 7,33 7,32 16,48 16,48 120,7984 120,6336 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-27 7,338 7,328 16,69 16,69 122,47122 122,30432 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-30 7,338 7,328 16,83 16,83 123,49854 123,33024 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-05-31 7,403 7,393 16,95 16,95 125,48085 125,31135 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-01 7,428 7,418 16,91 16,91 125,60748 125,43838 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-02 7,473 7,463 16,86 16,86 125,99478 125,82618 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-03 7,438 7,428 16,99 16,99 126,37162 126,20172 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-07 7,448 7,438 17,05 17,05 126,9884 126,8179 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-08 7,435 7,425 17,17 17,17 127,65895 127,48725 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-09 7,523 7,513 17,12 17,12 128,79376 128,62256 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-10 7,525 7,515 17,23 17,23 129,65575 129,48345 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-13 7,643 7,633 17,23 17,23 131,68889 131,51659 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-14 7,663 7,653 17,14 17,14 131,34382 131,17242 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-15 7,693 7,683 17,13 17,13 131,78109 131,60979 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-16 7,678 7,668 17,14 17,14 131,60092 131,42952 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-17 7,643 7,633 17,33 17,33 132,45319 132,27989 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-20 7,543 7,533 17,34 17,34 130,79562 130,62222 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-21 7,648 7,638 17,39 17,39 132,99872 132,82482 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-22 7,608 7,598 17,69 17,69 134,58552 134,40862 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-23 7,73 7,72 17,69 17,69 136,7437 136,5668 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-27 7,73 7,72 17,55 17,55 135,6615 135,486 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-28 7,76 7,75 17,57 17,57 136,3432 136,1675 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-29 7,833 7,823 17,52 17,52 137,23416 137,05896 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-06-30 7,823 7,813 17,47 17,47 136,66781 136,49311 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-04 7,945 7,935 17,43 17,43 138,48135 138,30705 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-05 7,963 7,953 17,42 17,42 138,71546 138,54126 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-06 7,895 7,885 17,27 17,27 136,34665 136,17395 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-07 7,878 7,868 16,93 16,93 133,37454 133,20524 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-08 7,913 7,903 16,81 16,81 133,01753 132,84943 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-11 7,89 7,88 17,13 17,13 135,1557 134,9844 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-12 7,77 7,76 17,11 17,11 132,9447 132,7736 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-13 7,703 7,693 17,21 17,21 132,56863 132,39653 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-14 7,76 7,75 17,35 17,35 134,636 134,4625 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-15 7,76 7,75 17,27 17,27 134,0152 133,8425 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-18 7,78 7,77 17,21 17,21 133,8938 133,7217 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-19 7,878 7,868 17,19 17,19 135,42282 135,25092 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-20 7,818 7,808 17,34 17,34 135,56412 135,39072 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-21 7,775 7,765 17,64 17,64 137,151 136,9746 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-22 7,758 7,748 17,94 17,94 139,17852 138,99912 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-25 7,838 7,828 17,94 17,94 140,61372 140,43432 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-26 7,818 7,808 17,87 17,87 139,70766 139,52896 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-27 7,905 7,895 18,06 18,06 142,7643 142,5837 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-28 7,848 7,838 18,22 18,22 142,99056 142,80836 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-07-29 7,748 7,738 18,43 18,43 142,79564 142,61134 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-01 7,72 7,71 18,58 18,58 143,4376 143,2518 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-02 7,7 7,69 18,69 18,69 143,913 143,7261 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-03 7,685 7,675 18,61 18,61 143,01785 142,83175 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-04 7,618 7,608 18,56 18,56 141,39008 141,20448 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-05 7,548 7,538 18,52 18,52 139,78896 139,60376 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-08 7,558 7,548 18,72 18,72 141,48576 141,29856 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-09 7,548 7,538 18,68 18,68 140,99664 140,80984 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-10 7,558 7,548 19,04 19,04 143,90432 143,71392 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-11 7,523 7,513 19,03 19,03 143,16269 142,97239 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-12 7,46 7,45 19,06 19,06 142,1876 141,997 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-15 7,508 7,498 19,19 19,19 144,07852 143,88662 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-16 7,523 7,513 19,07 19,07 143,46361 143,27291 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-17 7,605 7,595 19,02 19,02 144,6471 144,4569 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-18 7,61 7,6 18,67 18,67 142,0787 141,892 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-19 7,698 7,688 18,55 18,55 142,7979 142,6124 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-22 7,69 7,68 18,77 18,77 144,3413 144,1536 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-23 7,663 7,653 18,49 18,49 141,68887 141,50397 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-24 7,673 7,663 18,34 18,34 140,72282 140,53942 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-25 7,588 7,578 18,38 18,38 139,46744 139,28364 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-26 7,578 7,568 18,69 18,69 141,63282 141,44592 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-29 7,573 7,563 18,51 18,51 140,17623 139,99113 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-30 7,633 7,623 18,56 18,56 141,66848 141,48288 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-08-31 7,668 7,658 18,5 18,5 141,858 141,673 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-01 7,568 7,558 18,75 18,75 141,9 141,7125 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-02 7,435 7,425 18,8 18,8 139,778 139,59 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-05 7,41 7,4 18,75 18,75 138,9375 138,75 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-06 7,485 7,475 18,68 18,68 139,8198 139,633 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-07 7,43 7,42 18,72 18,72 139,0896 138,9024 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-08 7,498 7,488 18,57 18,57 139,23786 139,05216 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-09 7,523 7,513 18,61 18,61 140,00303 139,81693 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-12 7,555 7,545 18,75 18,75 141,65625 141,46875 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-13 7,57 7,56 18,55 18,55 140,4235 140,238 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-14 7,61 7,6 18,46 18,46 140,4806 140,296 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-15 7,658 7,648 18,48 18,48 141,51984 141,33504 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-16 7,613 7,603 18,47 18,47 140,61211 140,42741 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-20 7,688 7,678 18,78 18,78 144,38064 144,19284 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-21 7,663 7,653 18,78 18,78 143,91114 143,72334 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-22 7,648 7,638 18,69 18,69 142,94112 142,75422 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-23 7,733 7,723 18,56 18,56 143,52448 143,33888 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-26 7,798 7,788 18,59 18,59 144,96482 144,77892 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-27 7,825 7,815 18,56 18,56 145,232 145,0464 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-28 7,81 7,8 18,54 18,54 144,7974 144,612 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-29 7,785 7,775 18,98 18,98 147,7593 147,5695 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-09-30 7,785 7,775 19,15 19,15 149,08275 148,89125 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-03 7,783 7,773 19,17 19,17 149,20011 149,00841 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-04 7,82 7,81 19,17 19,17 149,9094 149,7177 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-05 7,795 7,785 18,83 18,83 146,77985 146,59155 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-06 7,713 7,703 18,4 18,4 141,9192 141,7352 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-07 7,683 7,673 18,38 18,38 141,21354 141,02974 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-10 7,698 7,688 18,56 18,56 142,87488 142,68928 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-12 7,805 7,795 18,16 18,16 141,7388 141,5572 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-13 7,83 7,82 18,18 18,18 142,3494 142,1676 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-14 7,833 7,823 17,87 17,87 139,97571 139,79701 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-17 7,835 7,825 17,97 17,97 140,79495 140,61525 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-18 7,893 7,883 18,14 18,14 143,17902 142,99762 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-19 7,96 7,95 17,75 17,75 141,29 141,1125 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-20 7,93 7,92 17,78 17,78 140,9954 140,8176 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-21 7,883 7,873 17,76 17,76 140,00208 139,82448 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-24 7,995 7,985 17,61 17,61 140,79195 140,61585 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-25 7,99 7,98 17,62 17,62 140,7838 140,6076 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-26 7,868 7,858 17,59 17,59 138,39812 138,22222 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-27 7,868 7,858 17,44 17,44 137,21792 137,04352 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-28 7,825 7,815 17,23 17,23 134,82475 134,65245 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-10-31 7,905 7,895 17,53 17,53 138,57465 138,39935 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-01 7,963 7,953 17,81 17,81 141,82103 141,64293 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-02 7,98 7,97 17,9 17,9 142,842 142,663 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-03 8,01 8 17,99 17,99 144,0999 143,92 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-04 8,028 8,018 18,06 18,06 144,98568 144,80508 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-07 8,135 8,125 17,77 17,77 144,55895 144,38125 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-08 8,17 8,16 17,82 17,82 145,5894 145,4112 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-09 8,12 8,11 17,95 17,95 145,754 145,5745 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-10 8,173 8,163 18,04 18,04 147,44092 147,26052 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-11 8,235 8,225 18,2 18,2 149,877 149,695 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-14 8,133 8,123 18,16 18,16 147,69528 147,51368 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-15 8,185 8,175 18,27 18,27 149,53995 149,35725 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-16 8,21 8,2 18,23 18,23 149,6683 149,486 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-17 8,258 8,248 18,41 18,41 152,02978 151,84568 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-18 8,223 8,213 18,56 18,56 152,61888 152,43328 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-21 8,123 8,113 18,61 18,61 151,16903 150,98293 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-22 8,15 8,14 18,66 18,66 152,079 151,8924 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-23 8,048 8,038 18,88 18,88 151,94624 151,75744 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-24 8,053 8,043 18,91 18,91 152,28223 152,09313 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-25 8,078 8,068 18,98 18,98 153,32044 153,13064 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-28 8,118 8,108 18,99 18,99 154,16082 153,97092 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-29 8,015 8,005 18,9 18,9 151,4835 151,2945 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-11-30 8,088 8,078 18,89 18,89 152,78232 152,59342 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-01 8,083 8,073 19,11 19,11 154,46613 154,27503 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-02 8,103 8,093 19,32 19,32 156,54996 156,35676 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-05 8,045 8,035 19,31 19,31 155,34895 155,15585 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-06 7,993 7,983 19,13 19,13 152,90609 152,71479 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-07 8,015 8,005 19,38 19,38 155,3307 155,1369 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-08 7,988 7,978 19,18 19,18 153,20984 153,01804 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-12 7,953 7,943 19,22 19,22 152,85666 152,66446 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-13 7,905 7,895 19,27 19,27 152,32935 152,13665 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-14 7,848 7,838 19,24 19,24 150,99552 150,80312 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-15 7,858 7,848 19,29 19,29 151,58082 151,38792 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-16 7,903 7,893 19,19 19,19 151,65857 151,46667 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-19 7,865 7,855 19,36 19,36 152,2664 152,0728 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-20 7,848 7,838 19,33 19,33 151,70184 151,50854 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-21 7,948 7,938 19,36 19,36 153,87328 153,67968 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-22 7,98 7,97 19,31 19,31 154,0938 153,9007 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-23 7,955 7,945 19,37 19,37 154,08835 153,89465 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-28 7,915 7,905 19,3 19,3 152,7595 152,5665 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-29 7,938 7,928 19,3 19,3 153,2034 153,0104 233585 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - China Fund USD 2005-12-30 7,958 7,948 19,24 19,24 153,11192 152,91952 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-04 9,0345 9,0295 23,41 23,41 211,497645 211,380595 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-05 9,0615 9,0565 23,17 23,17 209,954955 209,839105 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-07 9,0615 9,0565 23,07 23,07 209,048805 208,933455 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-10 9,08619 9,08119 23,18 23,18 210,6178842 210,5019842 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-11 9,08619 9,08119 23,32 23,32 211,8899508 211,7733508 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-12 9,0455 9,0405 23,18 23,18 209,67469 209,55879 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-13 9,0505 9,0455 23,21 23,21 210,062105 209,946055 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-14 9,0455 9,0405 23,46 23,46 212,20743 212,09013 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-17 9,0685 9,0635 23,69 23,69 214,832765 214,714315 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-18 9,0585 9,0535 23,4 23,4 211,9689 211,8519 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-19 9,0225 9,0175 23,31 23,31 210,314475 210,197925 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-20 9,0315 9,0265 23,13 23,13 208,898595 208,782945 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-21 9,0505 9,0455 23,2 23,2 209,9716 209,8556 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-24 9,0655 9,0605 23,18 23,18 210,13829 210,02239 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-25 9,0715 9,0665 23,49 23,49 213,089535 212,972085 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-26 9,0885 9,0835 23,6 23,6 214,4886 214,3706 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-27 9,0675 9,0625 23,84 23,84 216,1692 216,05 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-28 9,0955 9,0905 24,08 24,08 219,01964 218,89924 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-01-31 9,1075 9,1025 24,26 24,26 220,94795 220,82665 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-01 9,1035 9,0985 24,35 24,35 221,670225 221,548475 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-02 9,0905 9,0855 24,58 24,58 223,44449 223,32159 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-03 9,0695 9,0645 24,89 24,89 225,739855 225,615405 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-04 9,0895 9,0845 24,98 24,98 227,05571 226,93081 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-07 9,0755 9,0705 25,38 25,38 230,33619 230,20929 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-08 9,0895 9,0845 25,45 25,45 231,327775 231,200525 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-09 9,0695 9,0645 25,46 25,46 230,90947 230,78217 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-10 9,0805 9,0755 25,23 25,23 229,101015 228,974865 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-11 9,0935 9,0885 25,31 25,31 230,156485 230,029935 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-14 9,1105 9,1055 25,43 25,43 231,680015 231,552865 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-15 9,0765 9,0715 25,58 25,58 232,17687 232,04897 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-16 9,0705 9,0655 25,84 25,84 234,38172 234,25252 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-17 9,0925 9,0875 26,06 26,06 236,95055 236,82025 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-18 9,0945 9,0895 26,05 26,05 236,911725 236,781475 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-21 9,1185 9,1135 26,31 26,31 239,907735 239,776185 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-22 9,0975 9,0925 26,16 26,16 237,9906 237,8598 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-23 9,1045 9,0995 26,13 26,13 237,900585 237,769935 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-24 9,0715 9,0665 26,46 26,46 240,03189 239,89959 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-25 9,0845 9,0795 27,12 27,12 246,37164 246,23604 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-02-28 9,0505 9,0455 27,45 27,45 248,436225 248,298975 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-01 9,0565 9,0515 27,5 27,5 249,05375 248,91625 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-02 9,0645 9,0595 26,93 26,93 244,106985 243,972335 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-03 9,0675 9,0625 26,86 26,86 243,55305 243,41875 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-04 9,0415 9,0365 26,84 26,84 242,67386 242,53966 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-07 9,0425 9,0375 27,39 27,39 247,674075 247,537125 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-08 9,0345 9,0295 27,26 27,26 246,28047 246,14417 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-09 9,0365 9,0315 27,2 27,2 245,7928 245,6568 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-10 9,0655 9,0605 26,78 26,78 242,77409 242,64019 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-11 9,0795 9,0745 26,66 26,66 242,05947 241,92617 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-14 9,0695 9,0645 26,26 26,26 238,16507 238,03377 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-15 9,1035 9,0985 26,33 26,33 239,695155 239,563505 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-16 9,0975 9,0925 24,95 24,95 226,982625 226,857875 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-17 9,1045 9,0995 25,01 25,01 227,703545 227,578495 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-18 9,1035 9,0985 25,25 25,25 229,863375 229,737125 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-21 9,1265 9,1215 24,82 24,82 226,51973 226,39563 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-22 9,1265 9,1215 25,33 25,33 231,174245 231,047595 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-23 9,1165 9,1115 25,02 25,02 228,09483 227,96973 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-24 9,1135 9,1085 25,54 25,54 232,75879 232,63109 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-29 9,1315 9,1265 25,45 25,45 232,396675 232,269425 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-30 9,1425 9,1375 25,23 25,23 230,665275 230,539125 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-03-31 9,1405 9,1355 25,52 25,52 233,26556 233,13796 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-01 9,1645 9,1595 25,82 25,82 236,62739 236,49829 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-04 9,1695 9,1645 25,94 25,94 237,85683 237,72713 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-05 9,1745 9,1695 26,12 26,12 239,63794 239,50734 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-06 9,1705 9,1655 26,49 26,49 242,926545 242,794095 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-07 9,1505 9,1455 26,49 26,49 242,396745 242,264295 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-08 9,1625 9,1575 26,81 26,81 245,646625 245,512575 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-11 9,1705 9,1655 26,28 26,28 241,00074 240,86934 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-12 9,1525 9,1475 26,41 26,41 241,717525 241,585475 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-13 9,1495 9,1445 26,57 26,57 243,102215 242,969365 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-14 9,1685 9,1635 26,3 26,3 241,13155 241,00005 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-15 9,1925 9,1875 25,85 25,85 237,626125 237,496875 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-18 9,1805 9,1755 25,12 25,12 230,61416 230,48856 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-19 9,2035 9,1985 25,21 25,21 232,020235 231,894185 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-20 9,1915 9,1865 25,19 25,19 231,533885 231,407935 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-21 9,1855 9,1805 25,27 25,27 232,117585 231,991235 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-22 9,1625 9,1575 25,41 25,41 232,819125 232,692075 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-25 9,1685 9,1635 25,63 25,63 234,988655 234,860505 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-26 9,1375 9,1325 25,56 25,56 233,5545 233,4267 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-27 9,1465 9,1415 25,06 25,06 229,21129 229,08599 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-28 9,1505 9,1455 24,65 24,65 225,559825 225,436575 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-04-29 9,1705 9,1655 24,65 24,65 226,052825 225,929575 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-03 9,2245 9,2195 24,68 24,68 227,66066 227,53726 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-04 9,1915 9,1865 24,58 24,58 225,92707 225,80417 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-06 9,1715 9,1665 24,94 24,94 228,73721 228,61251 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-09 9,1815 9,1765 24,98 24,98 229,35387 229,22897 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-10 9,1985 9,1935 24,81 24,81 228,214785 228,090735 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-11 9,2105 9,2055 24,55 24,55 226,117775 225,995025 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-12 9,2315 9,2265 24,44 24,44 225,61786 225,49566 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-13 9,2045 9,1995 24,27 24,27 223,393215 223,271865 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-16 9,2145 9,2095 23,99 23,99 221,055855 220,935905 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-17 9,2325 9,2275 24,09 24,09 222,410925 222,290475 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-18 9,2095 9,2045 24,64 24,64 226,92208 226,79888 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-19 9,1905 9,1855 24,88 24,88 228,65964 228,53524 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-20 9,1955 9,1905 25,15 25,15 231,266825 231,141075 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-23 9,1805 9,1755 25,02 25,02 229,69611 229,57101 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-24 9,1815 9,1765 25,3 25,3 232,29195 232,16545 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-25 9,1785 9,1735 25,22 25,22 231,48177 231,35567 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-26 9,1945 9,1895 25,29 25,29 232,528905 232,402455 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-27 9,1955 9,1905 25,62 25,62 235,58871 235,46061 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-05-31 9,1665 9,1615 26,08 26,08 239,06232 238,93192 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-01 9,1455 9,1405 25,92 25,92 237,05136 236,92176 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-02 9,1565 9,1515 26,33 26,33 241,090645 240,958995 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-03 9,1315 9,1265 26,35 26,35 240,615025 240,483275 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-07 9,1455 9,1405 26,61 26,61 243,361755 243,228705 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-08 9,1455 9,1405 26,47 26,47 242,081385 241,949035 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-09 9,1965 9,1915 26,55 26,55 244,167075 244,034325 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-10 9,1975 9,1925 26,93 26,93 247,688675 247,554025 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-13 9,2365 9,2315 27,22 27,22 251,41753 251,28143 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-14 9,2985 9,2935 27,33 27,33 254,128005 253,991355 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-15 9,2695 9,2645 27,3 27,3 253,05735 252,92085 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-16 9,2695 9,2645 27,58 27,58 255,65281 255,51491 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-17 9,2695 9,2645 27,56 27,56 255,46742 255,32962 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-20 9,2255 9,2205 27,72 27,72 255,73086 255,59226 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-21 9,2725 9,2675 27,72 27,72 257,0337 256,8951 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-22 9,2615 9,2565 27,92 27,92 258,58108 258,44148 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-23 9,3535 9,3485 27,98 27,98 261,71093 261,57103 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-27 9,3855 9,3805 27,51 27,51 258,195105 258,057555 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-28 9,3995 9,3945 27,66 27,66 259,99017 259,85187 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-29 9,4215 9,4165 27,73 27,73 261,258195 261,119545 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-06-30 9,4415 9,4365 27,93 27,93 263,701095 263,561445 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-01 9,4595 9,4545 28,34 28,34 268,08223 267,94053 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-04 9,4795 9,4745 28,78 28,78 272,82001 272,67611 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-05 9,4575 9,4525 28,66 28,66 271,05195 270,90865 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-06 9,4195 9,4145 29,22 29,22 275,23779 275,09169 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-07 9,3965 9,3915 28,91 28,91 271,652815 271,508265 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-08 9,4175 9,4125 29,38 29,38 276,68615 276,53925 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-11 9,4665 9,4615 29,31 29,31 277,463115 277,316565 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-12 9,4645 9,4595 29,22 29,22 276,55269 276,40659 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-13 9,3915 9,3865 29,45 29,45 276,579675 276,432425 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-14 9,3675 9,3625 29,41 29,41 275,498175 275,351125 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-15 9,4055 9,4005 29,29 29,29 275,487095 275,340645 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-18 9,3895 9,3845 29,1 29,1 273,23445 273,08895 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-19 9,4425 9,4375 29,35 29,35 277,137375 276,990625 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-20 9,4265 9,4215 29,53 29,53 278,364545 278,216895 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-21 9,4625 9,4575 29,45 29,45 278,670625 278,523375 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-22 9,4495 9,4445 29,73 29,73 280,933635 280,784985 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-25 9,4275 9,4225 30,01 30,01 282,919275 282,769225 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-26 9,4155 9,4105 29,97 29,97 282,182535 282,032685 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-27 9,4725 9,4675 30,25 30,25 286,543125 286,391875 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-28 9,4515 9,4465 30,42 30,42 287,51463 287,36253 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-07-29 9,3885 9,3835 30,53 30,53 286,630905 286,478255 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-01 9,3985 9,3935 30,76 30,76 289,09786 288,94406 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-02 9,3995 9,3945 31,07 31,07 292,042465 291,887115 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-03 9,3755 9,3705 30,82 30,82 288,95291 288,79881 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-04 9,3735 9,3685 30,8 30,8 288,7038 288,5498 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-05 9,3355 9,3305 30,93 30,93 288,747015 288,592365 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-08 9,3335 9,3285 31,32 31,32 292,32522 292,16862 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-09 9,3455 9,3405 31,55 31,55 294,850525 294,692775 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-10 9,3535 9,3485 31,37 31,37 293,419295 293,262445 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-11 9,3365 9,3315 31,02 31,02 289,61823 289,46313 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-12 9,3025 9,2975 30,82 30,82 286,70305 286,54895 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-15 9,3065 9,3015 30,98 30,98 288,31537 288,16047 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-16 9,2995 9,2945 31,53 31,53 293,213235 293,055585 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-17 9,3405 9,3355 31,64 31,64 295,53342 295,37522 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-18 9,3365 9,3315 31,58 31,58 294,84667 294,68877 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-19 9,3395 9,3345 31,81 31,81 297,089495 296,930445 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-22 9,3655 9,3605 31,94 31,94 299,13407 298,97437 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-23 9,3715 9,3665 32,21 32,21 301,856015 301,694965 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-24 9,3365 9,3315 32,21 32,21 300,728665 300,567615 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-25 9,3335 9,3285 32,26 32,26 301,09871 300,93741 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-26 9,3415 9,3365 32,58 32,58 304,34607 304,18317 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-30 9,3285 9,3235 33,2 33,2 309,7062 309,5402 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-08-31 9,3585 9,3535 33,36 33,36 312,19956 312,03276 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-01 9,3365 9,3315 33,66 33,66 314,26659 314,09829 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-02 9,3025 9,2975 33,97 33,97 316,005925 315,836075 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-05 9,2845 9,2795 33,92 33,92 314,93024 314,76064 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-06 9,3225 9,3175 33,45 33,45 311,837625 311,670375 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-07 9,3075 9,3025 33,24 33,24 309,3813 309,2151 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-08 9,3255 9,3205 33,55 33,55 312,870525 312,702775 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-09 9,3445 9,3395 34,27 34,27 320,236015 320,064665 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-12 9,3015 9,2965 34,67 34,67 322,483005 322,309655 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-13 9,3015 9,2965 34,65 34,65 322,296975 322,123725 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-14 9,3365 9,3315 34,08 34,08 318,18792 318,01752 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-15 9,3425 9,3375 34,94 34,94 326,42695 326,25225 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-16 9,3465 9,3415 35,6 35,6 332,7354 332,5574 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-19 9,3355 9,3305 36,22 36,22 338,13181 337,95071 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-20 9,3395 9,3345 36,04 36,04 336,59558 336,41538 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-21 9,3405 9,3355 36,2 36,2 338,1261 337,9451 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-22 9,3405 9,3355 36,5 36,5 340,92825 340,74575 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-23 9,3695 9,3645 36,43 36,43 341,330885 341,148735 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-26 9,3815 9,3765 36,54 36,54 342,80001 342,61731 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-27 9,3885 9,3835 37,45 37,45 351,599325 351,412075 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-28 9,3935 9,3885 37,66 37,66 353,75921 353,57091 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-29 9,3845 9,3795 37,63 37,63 353,138735 352,950585 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-09-30 9,3435 9,3385 37,67 37,67 351,969645 351,781295 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-03 9,3025 9,2975 38,28 38,28 356,0997 355,9083 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-04 9,3185 9,3135 38,62 38,62 359,88047 359,68737 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-05 9,3105 9,3055 37,75 37,75 351,471375 351,282625 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-06 9,3015 9,2965 35,05 35,05 326,017575 325,842325 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-07 9,3385 9,3335 35,13 35,13 328,061505 327,885855 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-10 9,3465 9,3415 35,72 35,72 333,85698 333,67838 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-11 9,3395 9,3345 36,48 36,48 340,70496 340,52256 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-12 9,3375 9,3325 35,74 35,74 333,72225 333,54355 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-13 9,3815 9,3765 34,31 34,31 321,879265 321,707715 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-14 9,4135 9,4085 33,41 33,41 314,505035 314,337985 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-17 9,4575 9,4525 33,45 33,45 316,353375 316,186125 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-18 9,4625 9,4575 33,74 33,74 319,26475 319,09605 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-19 9,4605 9,4555 32,4 32,4 306,5202 306,3582 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-20 9,4935 9,4885 32,8 32,8 311,3868 311,2228 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-21 9,4915 9,4865 32,41 32,41 307,619515 307,457465 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-24 9,5455 9,5405 33,3 33,3 317,86515 317,69865 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-25 9,5465 9,5415 33,1 33,1 315,98915 315,82365 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-26 9,4975 9,4925 33,16 33,16 314,9371 314,7713 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-27 9,5355 9,5305 32,78 32,78 312,57369 312,40979 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-28 9,5135 9,5085 32,94 32,94 313,37469 313,20999 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-10-31 9,5495 9,5445 33,91 33,91 323,823545 323,653995 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-01 9,5495 9,5445 34,12 34,12 325,82894 325,65834 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-02 9,5855 9,5805 34,63 34,63 331,945865 331,772715 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-03 9,6515 9,6465 35,42 35,42 341,85613 341,67903 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-04 9,5875 9,5825 35,56 35,56 340,9315 340,7537 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-07 9,6075 9,6025 35,6 35,6 342,027 341,849 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-08 9,5685 9,5635 35,47 35,47 339,394695 339,217345 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-09 9,5575 9,5525 35,67 35,67 340,916025 340,737675 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-10 9,6105 9,6055 35,38 35,38 340,01949 339,84259 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-11 9,6365 9,6315 34,93 34,93 336,602945 336,428295 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-14 9,5505 9,5455 35,35 35,35 337,610175 337,433425 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-15 9,5805 9,5755 35,37 35,37 338,862285 338,685435 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-16 9,6235 9,6185 35,36 35,36 340,28696 340,11016 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-17 9,6355 9,6305 36,2 36,2 348,8051 348,6241 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-18 9,6085 9,6035 36,03 36,03 346,194255 346,014105 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-21 9,5915 9,5865 36,19 36,19 347,116385 346,935435 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-22 9,5585 9,5535 36,28 36,28 346,78238 346,60098 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-23 9,5155 9,5105 36,2 36,2 344,4611 344,2801 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-24 9,5125 9,5075 36,4 36,4 346,255 346,073 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-25 9,4965 9,4915 36,77 36,77 349,186305 349,002455 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-28 9,4835 9,4785 37,19 37,19 352,691365 352,505415 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-29 9,4785 9,4735 36,66 36,66 347,48181 347,29851 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-11-30 9,5295 9,5245 36,58 36,58 348,58911 348,40621 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-01 9,5165 9,5115 37,14 37,14 353,44281 353,25711 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-02 9,4905 9,4855 37,69 37,69 357,696945 357,508495 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-05 9,4065 9,4015 37,67 37,67 354,342855 354,154505 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-06 9,4185 9,4135 37,44 37,44 352,62864 352,44144 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-07 9,4255 9,4205 37,79 37,79 356,189645 356,000695 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-08 9,3965 9,3915 37,44 37,44 351,80496 351,61776 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-12 9,4315 9,4265 37,46 37,46 353,30399 353,11669 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-13 9,4295 9,4245 37,54 37,54 353,98343 353,79573 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-14 9,4365 9,4315 37,25 37,25 351,509625 351,323375 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-15 9,4345 9,4295 37,35 37,35 352,378575 352,191825 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-16 9,4765 9,4715 37,15 37,15 352,051975 351,866225 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-19 9,4535 9,4485 37,31 37,31 352,710085 352,523535 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-20 9,4015 9,3965 37,43 37,43 351,898145 351,710995 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-21 9,4485 9,4435 37,81 37,81 357,247785 357,058735 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-22 9,4365 9,4315 37,86 37,86 357,26589 357,07659 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-23 9,4425 9,4375 37,82 37,82 357,11535 356,92625 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-28 9,4345 9,4295 37,6 37,6 354,7372 354,5492 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-29 9,4115 9,4065 37,92 37,92 356,88408 356,69448 269415 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Eastern Europe Equity Fund EUR 2005-12-30 9,4325 9,4275 38,25 38,25 360,793125 360,601875 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-03 6,668 6,658 14,8 14,8 98,6864 98,5384 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-04 6,728 6,718 14,6 14,6 98,2288 98,0828 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-05 6,828 6,818 14,27 14,27 97,43556 97,29286 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-07 6,87 6,86 14,19 14,19 97,4853 97,3434 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-10 6,96091 6,95091 14,17 14,17 98,6360947 98,4943947 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-11 6,96091 6,95091 14,17 14,17 98,6360947 98,4943947 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-12 6,913 6,903 14,15 14,15 97,81895 97,67745 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-13 6,843 6,833 14,26 14,26 97,58118 97,43858 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-14 6,915 6,905 14,39 14,39 99,50685 99,36295 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-17 6,915 6,905 14,56 14,56 100,6824 100,5368 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-18 6,968 6,958 14,41 14,41 100,40888 100,26478 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-19 6,91 6,9 14,46 14,46 99,9186 99,774 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-20 6,96 6,95 14,26 14,26 99,2496 99,107 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-21 6,978 6,968 14,3 14,3 99,7854 99,6424 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-24 6,933 6,923 14,36 14,36 99,55788 99,41428 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-25 6,95 6,94 14,41 14,41 100,1495 100,0054 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-26 6,995 6,985 14,48 14,48 101,2876 101,1428 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-27 6,93 6,92 14,53 14,53 100,6929 100,5476 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-28 6,985 6,975 14,58 14,58 101,8413 101,6955 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-01-31 6,998 6,988 14,77 14,77 103,36046 103,21276 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-01 6,993 6,983 14,75 14,75 103,14675 102,99925 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-02 6,953 6,943 14,81 14,81 102,97393 102,82583 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-03 6,968 6,958 14,85 14,85 103,4748 103,3263 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-04 7,01 7 14,98 14,98 105,0098 104,86 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-07 7,065 7,055 15,02 15,02 106,1163 105,9661 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-08 7,123 7,113 15,01 15,01 106,91623 106,76613 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-09 7,1 7,09 15,01 15,01 106,571 106,4209 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-10 7,088 7,078 14,93 14,93 105,82384 105,67454 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-11 7,068 7,058 14,99 14,99 105,94932 105,79942 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-14 7,03 7,02 15,28 15,28 107,4184 107,2656 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-15 7,005 6,995 15,32 15,32 107,3166 107,1634 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-16 6,973 6,963 15,34 15,34 106,96582 106,81242 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-17 6,97 6,96 15,37 15,37 107,1289 106,9752 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-18 6,965 6,955 15,45 15,45 107,60925 107,45475 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-21 6,978 6,968 15,46 15,46 107,87988 107,72528 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-22 6,905 6,895 15,55 15,55 107,37275 107,21725 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-23 6,895 6,885 15,48 15,48 106,7346 106,5798 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-24 6,858 6,848 15,65 15,65 107,3277 107,1712 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-25 6,885 6,875 15,78 15,78 108,6453 108,4875 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-02-28 6,828 6,818 15,99 15,99 109,17972 109,01982 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-01 6,87 6,86 15,92 15,92 109,3704 109,2112 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-02 6,888 6,878 15,73 15,73 108,34824 108,19094 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-03 6,903 6,893 15,82 15,82 109,20546 109,04726 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-04 6,9 6,89 15,86 15,86 109,434 109,2754 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-07 6,84 6,83 15,95 15,95 109,098 108,9385 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-08 6,825 6,815 15,92 15,92 108,654 108,4948 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-09 6,76 6,75 15,91 15,91 107,5516 107,3925 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-10 6,745 6,735 15,77 15,77 106,36865 106,21095 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-11 6,765 6,755 15,86 15,86 107,2929 107,1343 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-14 6,76 6,75 15,68 15,68 105,9968 105,84 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-15 6,815 6,805 15,45 15,45 105,29175 105,13725 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-16 6,81 6,8 15,24 15,24 103,7844 103,632 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-17 6,795 6,785 15,2 15,2 103,284 103,132 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-18 6,828 6,818 15,3 15,3 104,4684 104,3154 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-21 6,908 6,898 15,21 15,21 105,07068 104,91858 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-22 6,928 6,918 15,21 15,21 105,37488 105,22278 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-23 6,973 6,963 14,97 14,97 104,38581 104,23611 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-24 7,008 6,998 14,93 14,93 104,62944 104,48014 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-29 7,055 7,045 14,76 14,76 104,1318 103,9842 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-30 7,053 7,043 14,69 14,69 103,60857 103,46167 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-03-31 7,065 7,055 14,93 14,93 105,48045 105,33115 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-01 7,07 7,06 15,13 15,13 106,9691 106,8178 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-04 7,113 7,103 15,06 15,06 107,12178 106,97118 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-05 7,163 7,153 15,1 15,1 108,1613 108,0103 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-06 7,125 7,115 15,13 15,13 107,80125 107,64995 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-07 7,083 7,073 15,12 15,12 107,09496 106,94376 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-08 7,153 7,143 15,19 15,19 108,65407 108,50217 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-11 7,098 7,088 15,12 15,12 107,32176 107,17056 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-12 7,048 7,038 15,12 15,12 106,56576 106,41456 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-13 7,075 7,065 15,14 15,14 107,1155 106,9641 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-14 7,12 7,11 14,92 14,92 106,2304 106,0812 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-15 7,17 7,16 14,73 14,73 105,6141 105,4668 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-18 7,08 7,07 14,49 14,49 102,5892 102,4443 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-19 7,068 7,058 14,66 14,66 103,61688 103,47028 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-20 7,043 7,033 14,74 14,74 103,81382 103,66642 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-21 7,025 7,015 14,77 14,77 103,75925 103,61155 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-22 7,023 7,013 14,82 14,82 104,08086 103,93266 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-25 7,04 7,03 14,86 14,86 104,6144 104,4658 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-26 7,035 7,025 14,96 14,96 105,2436 105,094 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-27 7,085 7,075 14,84 14,84 105,1414 104,993 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-28 7,085 7,075 14,7 14,7 104,1495 104,0025 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-04-29 7,08 7,07 14,79 14,79 104,7132 104,5653 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-02 7,15 7,14 14,81 14,81 105,8915 105,7434 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-03 7,178 7,168 14,86 14,86 106,66508 106,51648 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-04 7,11 7,1 15,06 15,06 107,0766 106,926 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-06 7,085 7,075 15,34 15,34 108,6839 108,5305 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-09 7,168 7,158 15,31 15,31 109,74208 109,58898 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-10 7,178 7,168 15,28 15,28 109,67984 109,52704 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-11 7,15 7,14 15,11 15,11 108,0365 107,8854 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-12 7,243 7,233 15,08 15,08 109,22444 109,07364 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-13 7,265 7,255 15 15 108,975 108,825 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-16 7,32 7,31 14,97 14,97 109,5804 109,4307 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-17 7,313 7,303 15,01 15,01 109,76813 109,61803 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-18 7,3 7,29 15,13 15,13 110,449 110,2977 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-19 7,26 7,25 15,29 15,29 111,0054 110,8525 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-20 7,28 7,27 15,29 15,29 111,3112 111,1583 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-23 7,32 7,31 15,24 15,24 111,5568 111,4044 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-24 7,295 7,285 15,27 15,27 111,39465 111,24195 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-25 7,298 7,288 15,3 15,3 111,6594 111,5064 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-26 7,33 7,32 15,38 15,38 112,7354 112,5816 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-27 7,338 7,328 15,54 15,54 114,03252 113,87712 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-30 7,338 7,328 15,58 15,58 114,32604 114,17024 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-05-31 7,403 7,393 15,56 15,56 115,19068 115,03508 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-01 7,428 7,418 15,43 15,43 114,61404 114,45974 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-02 7,473 7,463 15,54 15,54 116,13042 115,97502 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-03 7,438 7,428 15,69 15,69 116,70222 116,54532 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-07 7,448 7,438 15,62 15,62 116,33776 116,18156 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-08 7,435 7,425 15,68 15,68 116,5808 116,424 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-09 7,523 7,513 15,58 15,58 117,20834 117,05254 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-10 7,525 7,515 15,71 15,71 118,21775 118,06065 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-13 7,643 7,633 15,71 15,71 120,07153 119,91443 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-14 7,663 7,653 15,78 15,78 120,92214 120,76434 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-15 7,693 7,683 15,87 15,87 122,08791 121,92921 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-16 7,678 7,668 15,97 15,97 122,61766 122,45796 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-17 7,643 7,633 16,13 16,13 123,28159 123,12029 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-20 7,543 7,533 16,11 16,11 121,51773 121,35663 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-21 7,648 7,638 16,09 16,09 123,05632 122,89542 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-22 7,608 7,598 16,17 16,17 123,02136 122,85966 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-23 7,73 7,72 16,21 16,21 125,3033 125,1412 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-27 7,73 7,72 16,03 16,03 123,9119 123,7516 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-28 7,76 7,75 16,12 16,12 125,0912 124,93 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-29 7,833 7,823 16,1 16,1 126,1113 125,9503 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-06-30 7,823 7,813 16,11 16,11 126,02853 125,86743 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-01 7,858 7,848 16,18 16,18 127,14244 126,98064 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-04 7,945 7,935 16,18 16,18 128,5501 128,3883 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-05 7,963 7,953 16,08 16,08 128,04504 127,88424 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-06 7,895 7,885 16,19 16,19 127,82005 127,65815 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-07 7,878 7,868 16,09 16,09 126,75702 126,59612 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-08 7,913 7,903 16,21 16,21 128,26973 128,10763 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-11 7,89 7,88 16,47 16,47 129,9483 129,7836 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-12 7,77 7,76 16,57 16,57 128,7489 128,5832 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-13 7,703 7,693 16,62 16,62 128,02386 127,85766 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-14 7,76 7,75 16,74 16,74 129,9024 129,735 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-15 7,76 7,75 16,58 16,58 128,6608 128,495 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-18 7,78 7,77 16,58 16,58 128,9924 128,8266 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-19 7,878 7,868 16,65 16,65 131,1687 131,0022 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-20 7,818 7,808 16,68 16,68 130,40424 130,23744 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-21 7,775 7,765 16,88 16,88 131,242 131,0732 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-22 7,758 7,748 16,91 16,91 131,18778 131,01868 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-25 7,838 7,828 16,89 16,89 132,38382 132,21492 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-26 7,818 7,808 16,74 16,74 130,87332 130,70592 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-27 7,905 7,895 16,8 16,8 132,804 132,636 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-28 7,848 7,838 17,03 17,03 133,65144 133,48114 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-07-29 7,748 7,738 17,17 17,17 133,03316 132,86146 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-01 7,72 7,71 17,28 17,28 133,4016 133,2288 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-02 7,7 7,69 17,45 17,45 134,365 134,1905 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-03 7,685 7,675 17,6 17,6 135,256 135,08 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-04 7,618 7,608 17,51 17,51 133,39118 133,21608 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-05 7,548 7,538 17,43 17,43 131,56164 131,38734 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-08 7,558 7,548 17,48 17,48 132,11384 131,93904 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-09 7,548 7,538 17,5 17,5 132,09 131,915 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-10 7,558 7,548 17,76 17,76 134,23008 134,05248 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-11 7,523 7,513 17,9 17,9 134,6617 134,4827 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-12 7,46 7,45 17,73 17,73 132,2658 132,0885 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-15 7,508 7,498 17,69 17,69 132,81652 132,63962 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-16 7,523 7,513 17,73 17,73 133,38279 133,20549 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-17 7,605 7,595 17,64 17,64 134,1522 133,9758 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-18 7,61 7,6 17,48 17,48 133,0228 132,848 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-19 7,698 7,688 17,45 17,45 134,3301 134,1556 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-22 7,69 7,68 17,58 17,58 135,1902 135,0144 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-23 7,663 7,653 17,55 17,55 134,48565 134,31015 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-24 7,673 7,663 17,38 17,38 133,35674 133,18294 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-25 7,588 7,578 17,4 17,4 132,0312 131,8572 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-26 7,578 7,568 17,41 17,41 131,93298 131,75888 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-29 7,573 7,563 17,28 17,28 130,86144 130,68864 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-30 7,633 7,623 17,36 17,36 132,50888 132,33528 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-08-31 7,668 7,658 17,46 17,46 133,88328 133,70868 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-01 7,568 7,558 17,83 17,83 134,93744 134,75914 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-02 7,435 7,425 18,02 18,02 133,9787 133,7985 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-05 7,41 7,4 18,11 18,11 134,1951 134,014 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-06 7,485 7,475 18,22 18,22 136,3767 136,1945 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-07 7,43 7,42 18,29 18,29 135,8947 135,7118 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-08 7,498 7,488 18,41 18,41 138,03818 137,85408 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-09 7,523 7,513 18,47 18,47 138,94981 138,76511 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-12 7,555 7,545 18,59 18,59 140,44745 140,26155 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-13 7,57 7,56 18,55 18,55 140,4235 140,238 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-14 7,61 7,6 18,33 18,33 139,4913 139,308 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-15 7,658 7,648 18,46 18,46 141,36668 141,18208 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-16 7,613 7,603 18,67 18,67 142,13471 141,94801 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-19 7,698 7,688 18,74 18,74 144,26052 144,07312 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-20 7,688 7,678 18,8 18,8 144,5344 144,3464 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-21 7,663 7,653 18,77 18,77 143,83451 143,64681 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-22 7,648 7,638 18,69 18,69 142,94112 142,75422 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-23 7,733 7,723 18,51 18,51 143,13783 142,95273 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-26 7,798 7,788 18,66 18,66 145,51068 145,32408 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-27 7,825 7,815 18,78 18,78 146,9535 146,7657 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-28 7,81 7,8 18,96 18,96 148,0776 147,888 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-29 7,785 7,775 18,99 18,99 147,83715 147,64725 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-09-30 7,785 7,775 19 19 147,915 147,725 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-03 7,783 7,773 19,02 19,02 148,03266 147,84246 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-04 7,82 7,81 19,15 19,15 149,753 149,5615 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-05 7,795 7,785 18,82 18,82 146,7019 146,5137 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-06 7,713 7,703 18,35 18,35 141,53355 141,35005 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-07 7,683 7,673 18,23 18,23 140,06109 139,87879 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-10 7,698 7,688 18,45 18,45 142,0281 141,8436 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-11 7,77 7,76 18,55 18,55 144,1335 143,948 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-12 7,805 7,795 18,3 18,3 142,8315 142,6485 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-13 7,83 7,82 17,76 17,76 139,0608 138,8832 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-14 7,833 7,823 17,7 17,7 138,6441 138,4671 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-17 7,835 7,825 17,75 17,75 139,07125 138,89375 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-18 7,893 7,883 17,75 17,75 140,10075 139,92325 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-19 7,96 7,95 17,22 17,22 137,0712 136,899 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-20 7,93 7,92 17,52 17,52 138,9336 138,7584 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-21 7,883 7,873 17,45 17,45 137,55835 137,38385 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-24 7,995 7,985 17,55 17,55 140,31225 140,13675 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-25 7,99 7,98 17,66 17,66 141,1034 140,9268 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-26 7,868 7,858 17,71 17,71 139,34228 139,16518 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-27 7,868 7,858 17,63 17,63 138,71284 138,53654 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-28 7,825 7,815 17,5 17,5 136,9375 136,7625 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-10-31 7,905 7,895 17,83 17,83 140,94615 140,76785 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-01 7,963 7,953 18,12 18,12 144,28956 144,10836 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-02 7,98 7,97 18,34 18,34 146,3532 146,1698 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-03 8,01 8 18,6 18,6 148,986 148,8 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-04 8,028 8,018 18,5 18,5 148,518 148,333 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-07 8,135 8,125 18,45 18,45 150,09075 149,90625 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-08 8,17 8,16 18,49 18,49 151,0633 150,8784 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-09 8,12 8,11 18,61 18,61 151,1132 150,9271 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-10 8,173 8,163 18,62 18,62 152,18126 151,99506 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-11 8,235 8,225 18,77 18,77 154,57095 154,38325 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-14 8,133 8,123 18,79 18,79 152,81907 152,63117 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-15 8,185 8,175 18,77 18,77 153,63245 153,44475 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-16 8,21 8,2 18,8 18,8 154,348 154,16 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-17 8,258 8,248 18,98 18,98 156,73684 156,54704 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-18 8,223 8,213 19,07 19,07 156,81261 156,62191 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-21 8,123 8,113 19,08 19,08 154,98684 154,79604 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-22 8,15 8,14 18,79 18,79 153,1385 152,9506 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-23 8,048 8,038 19,21 19,21 154,60208 154,40998 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-24 8,053 8,043 19,29 19,29 155,34237 155,14947 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-25 8,078 8,068 19,29 19,29 155,82462 155,63172 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-28 8,118 8,108 19,34 19,34 157,00212 156,80872 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-29 8,015 8,005 19,25 19,25 154,28875 154,09625 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-11-30 8,088 8,078 19,26 19,26 155,77488 155,58228 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-01 8,083 8,073 19,43 19,43 157,05269 156,85839 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-02 8,103 8,093 19,65 19,65 159,22395 159,02745 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-05 8,045 8,035 19,73 19,73 158,72785 158,53055 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-06 7,993 7,983 19,9 19,9 159,0607 158,8617 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-07 8,015 8,005 20,05 20,05 160,70075 160,50025 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-08 7,988 7,978 19,78 19,78 158,00264 157,80484 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-12 7,953 7,943 19,9 19,9 158,2647 158,0657 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-13 7,905 7,895 19,91 19,91 157,38855 157,18945 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-14 7,848 7,838 19,94 19,94 156,48912 156,28972 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-15 7,858 7,848 19,94 19,94 156,68852 156,48912 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-16 7,903 7,893 19,87 19,87 157,03261 156,83391 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-19 7,865 7,855 19,96 19,96 156,9854 156,7858 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-20 7,848 7,838 19,93 19,93 156,41064 156,21134 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-21 7,948 7,938 20,19 20,19 160,47012 160,26822 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-22 7,98 7,97 20,24 20,24 161,5152 161,3128 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-23 7,955 7,945 20,24 20,24 161,0092 160,8068 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-27 8,01 8 20,21 20,21 161,8821 161,68 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-28 7,915 7,905 20,15 20,15 159,48725 159,28575 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-29 7,938 7,928 20,24 20,24 160,66512 160,46272 305243 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Emerging Markets Equity Fund USD 2005-12-30 7,958 7,948 20,25 20,25 161,1495 160,947 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-04 9,0345 9,0295 9,61 9,61 86,821545 86,773495 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-05 9,0615 9,0565 9,57 9,57 86,718555 86,670705 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-07 9,0615 9,0565 9,65 9,65 87,443475 87,395225 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-10 9,08619 9,08119 9,65 9,65 87,6817335 87,6334835 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-11 9,08619 9,08119 9,61 9,61 87,3182859 87,2702359 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-12 9,0455 9,0405 9,57 9,57 86,565435 86,517585 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-13 9,0505 9,0455 9,6 9,6 86,8848 86,8368 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-14 9,0455 9,0405 9,63 9,63 87,108165 87,060015 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-17 9,0685 9,0635 9,69 9,69 87,873765 87,825315 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-18 9,0585 9,0535 9,66 9,66 87,50511 87,45681 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-19 9,0225 9,0175 9,73 9,73 87,788925 87,740275 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-20 9,0315 9,0265 9,66 9,66 87,24429 87,19599 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-21 9,0505 9,0455 9,69 9,69 87,699345 87,650895 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-24 9,0655 9,0605 9,68 9,68 87,75404 87,70564 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-25 9,0715 9,0665 9,75 9,75 88,447125 88,398375 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-26 9,0885 9,0835 9,77 9,77 88,794645 88,745795 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-27 9,0675 9,0625 9,76 9,76 88,4988 88,45 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-28 9,0955 9,0905 9,77 9,77 88,863035 88,814185 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-01-31 9,1075 9,1025 9,82 9,82 89,43565 89,38655 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-01 9,1035 9,0985 9,87 9,87 89,851545 89,802195 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-02 9,0905 9,0855 9,94 9,94 90,35957 90,30987 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-03 9,0695 9,0645 9,93 9,93 90,060135 90,010485 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-04 9,0895 9,0845 10,01 10,01 90,985895 90,935845 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-07 9,0755 9,0705 10,1 10,1 91,66255 91,61205 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-08 9,0895 9,0845 10,1 10,1 91,80395 91,75345 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-09 9,0695 9,0645 10,1 10,1 91,60195 91,55145 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-10 9,0805 9,0755 10,09 10,09 91,622245 91,571795 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-11 9,0935 9,0885 10,13 10,13 92,117155 92,066505 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-14 9,1105 9,1055 10,18 10,18 92,74489 92,69399 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-15 9,0765 9,0715 10,24 10,24 92,94336 92,89216 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-16 9,0705 9,0655 10,21 10,21 92,609805 92,558755 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-17 9,0925 9,0875 10,26 10,26 93,28905 93,23775 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-18 9,0945 9,0895 10,24 10,24 93,12768 93,07648 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-21 9,1185 9,1135 10,19 10,19 92,917515 92,866565 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-22 9,0975 9,0925 10,09 10,09 91,793775 91,743325 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-23 9,1045 9,0995 10,1 10,1 91,95545 91,90495 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-24 9,0715 9,0665 10,15 10,15 92,075725 92,024975 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-25 9,0845 9,0795 10,27 10,27 93,297815 93,246465 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-02-28 9,0505 9,0455 10,35 10,35 93,672675 93,620925 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-01 9,0565 9,0515 10,37 10,37 93,915905 93,864055 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-02 9,0645 9,0595 10,32 10,32 93,54564 93,49404 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-03 9,0675 9,0625 10,35 10,35 93,848625 93,796875 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-04 9,0415 9,0365 10,41 10,41 94,122015 94,069965 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-07 9,0425 9,0375 10,45 10,45 94,494125 94,441875 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-08 9,0345 9,0295 10,42 10,42 94,13949 94,08739 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-09 9,0365 9,0315 10,37 10,37 93,708505 93,656655 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-10 9,0655 9,0605 10,3 10,3 93,37465 93,32315 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-11 9,0795 9,0745 10,31 10,31 93,609645 93,558095 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-14 9,0695 9,0645 10,24 10,24 92,87168 92,82048 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-15 9,1035 9,0985 10,3 10,3 93,76605 93,71455 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-16 9,0975 9,0925 10,2 10,2 92,7945 92,7435 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-17 9,1045 9,0995 10,17 10,17 92,592765 92,541915 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-18 9,1035 9,0985 10,23 10,23 93,128805 93,077655 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-21 9,1265 9,1215 10,18 10,18 92,90777 92,85687 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-22 9,1265 9,1215 10,15 10,15 92,633975 92,583225 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-23 9,1165 9,1115 10,06 10,06 91,71199 91,66169 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-24 9,1135 9,1085 10,15 10,15 92,502025 92,451275 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-29 9,1315 9,1265 10,15 10,15 92,684725 92,633975 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-30 9,1425 9,1375 10,12 10,12 92,5221 92,4715 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-03-31 9,1405 9,1355 10,21 10,21 93,324505 93,273455 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-01 9,1645 9,1595 10,26 10,26 94,02777 93,97647 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-04 9,1695 9,1645 10,2 10,2 93,5289 93,4779 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-05 9,1745 9,1695 10,28 10,28 94,31386 94,26246 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-06 9,1705 9,1655 10,32 10,32 94,63956 94,58796 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-07 9,1505 9,1455 10,35 10,35 94,707675 94,655925 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-08 9,1625 9,1575 10,42 10,42 95,47325 95,42115 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-11 9,1705 9,1655 10,4 10,4 95,3732 95,3212 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-12 9,1525 9,1475 10,38 10,38 95,00295 94,95105 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-13 9,1495 9,1445 10,42 10,42 95,33779 95,28569 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-14 9,1685 9,1635 10,39 10,39 95,260715 95,208765 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-15 9,1925 9,1875 10,23 10,23 94,039275 93,988125 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-18 9,1805 9,1755 10 10 91,805 91,755 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-19 9,2035 9,1985 10,07 10,07 92,679245 92,628895 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-20 9,1915 9,1865 10,03 10,03 92,190745 92,140595 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-21 9,1855 9,1805 10,04 10,04 92,22242 92,17222 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-22 9,1625 9,1575 10,08 10,08 92,358 92,3076 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-25 9,1685 9,1635 10,12 10,12 92,78522 92,73462 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-26 9,1375 9,1325 10,06 10,06 91,92325 91,87295 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-27 9,1465 9,1415 9,92 9,92 90,73328 90,68368 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-28 9,1505 9,1455 9,89 9,89 90,498445 90,448995 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-04-29 9,1705 9,1655 9,94 9,94 91,15477 91,10507 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-03 9,2245 9,2195 10,01 10,01 92,337245 92,287195 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-04 9,1915 9,1865 10,02 10,02 92,09883 92,04873 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-06 9,1715 9,1665 10,16 10,16 93,18244 93,13164 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-09 9,1815 9,1765 10,14 10,14 93,10041 93,04971 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-10 9,1985 9,1935 10,07 10,07 92,628895 92,578545 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-11 9,2105 9,2055 10,07 10,07 92,749735 92,699385 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-12 9,2315 9,2265 10,14 10,14 93,60741 93,55671 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-13 9,2045 9,1995 10,09 10,09 92,873405 92,822955 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-16 9,2145 9,2095 10,07 10,07 92,790015 92,739665 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-17 9,2325 9,2275 10,09 10,09 93,155925 93,105475 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-18 9,2095 9,2045 10,17 10,17 93,660615 93,609765 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-19 9,1905 9,1855 10,22 10,22 93,92691 93,87581 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-20 9,1955 9,1905 10,26 10,26 94,34583 94,29453 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-23 9,1805 9,1755 10,29 10,29 94,467345 94,415895 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-24 9,1815 9,1765 10,3 10,3 94,56945 94,51795 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-25 9,1785 9,1735 10,32 10,32 94,72212 94,67052 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-26 9,1945 9,1895 10,38 10,38 95,43891 95,38701 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-27 9,1955 9,1905 10,4 10,4 95,6332 95,5812 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-05-31 9,1665 9,1615 10,48 10,48 96,06492 96,01252 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-01 9,1455 9,1405 10,52 10,52 96,21066 96,15806 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-02 9,1565 9,1515 10,61 10,61 97,150465 97,097415 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-03 9,1315 9,1265 10,61 10,61 96,885215 96,832165 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-07 9,1455 9,1405 10,7 10,7 97,85685 97,80335 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-08 9,1455 9,1405 10,7 10,7 97,85685 97,80335 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-09 9,1965 9,1915 10,69 10,69 98,310585 98,257135 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-10 9,1975 9,1925 10,8 10,8 99,333 99,279 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-13 9,2365 9,2315 10,8 10,8 99,7542 99,7002 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-14 9,2985 9,2935 10,85 10,85 100,888725 100,834475 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-15 9,2695 9,2645 10,85 10,85 100,574075 100,519825 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-16 9,2695 9,2645 10,83 10,83 100,388685 100,334535 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-17 9,2695 9,2645 10,9 10,9 101,03755 100,98305 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-20 9,2255 9,2205 10,87 10,87 100,281185 100,226835 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-21 9,2725 9,2675 10,91 10,91 101,162975 101,108425 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-22 9,2615 9,2565 10,94 10,94 101,32081 101,26611 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-23 9,3535 9,3485 10,98 10,98 102,70143 102,64653 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-27 9,3855 9,3805 10,83 10,83 101,644965 101,590815 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-28 9,3995 9,3945 10,91 10,91 102,548545 102,493995 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-29 9,4215 9,4165 10,97 10,97 103,353855 103,299005 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-06-30 9,4415 9,4365 10,99 10,99 103,762085 103,707135 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-01 9,4595 9,4545 11 11 104,0545 103,9995 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-04 9,4795 9,4745 11,04 11,04 104,65368 104,59848 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-05 9,4575 9,4525 11,02 11,02 104,22165 104,16655 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-06 9,4195 9,4145 11,1 11,1 104,55645 104,50095 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-07 9,3965 9,3915 10,87 10,87 102,139955 102,085605 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-08 9,4175 9,4125 11,06 11,06 104,15755 104,10225 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-11 9,4665 9,4615 11,13 11,13 105,362145 105,306495 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-12 9,4645 9,4595 11,1 11,1 105,05595 105,00045 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-13 9,3915 9,3865 11,14 11,14 104,62131 104,56561 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-14 9,3675 9,3625 11,2 11,2 104,916 104,86 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-15 9,4055 9,4005 11,15 11,15 104,871325 104,815575 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-18 9,3895 9,3845 11,13 11,13 104,505135 104,449485 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-19 9,4425 9,4375 11,16 11,16 105,3783 105,3225 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-20 9,4265 9,4215 11,15 11,15 105,105475 105,049725 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-21 9,4625 9,4575 11,19 11,19 105,885375 105,829425 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-22 9,4495 9,4445 11,18 11,18 105,64541 105,58951 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-25 9,4275 9,4225 11,22 11,22 105,77655 105,72045 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-26 9,4155 9,4105 11,26 11,26 106,01853 105,96223 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-27 9,4725 9,4675 11,34 11,34 107,41815 107,36145 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-28 9,4515 9,4465 11,41 11,41 107,841615 107,784565 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-07-29 9,3885 9,3835 11,44 11,44 107,40444 107,34724 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-01 9,3985 9,3935 11,46 11,46 107,70681 107,64951 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-02 9,3995 9,3945 11,52 11,52 108,28224 108,22464 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-03 9,3755 9,3705 11,52 11,52 108,00576 107,94816 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-04 9,3735 9,3685 11,45 11,45 107,326575 107,269325 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-05 9,3355 9,3305 11,43 11,43 106,704765 106,647615 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-08 9,3335 9,3285 11,47 11,47 107,055245 106,997895 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-09 9,3455 9,3405 11,51 11,51 107,566705 107,509155 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-10 9,3535 9,3485 11,61 11,61 108,594135 108,536085 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-11 9,3365 9,3315 11,59 11,59 108,210035 108,152085 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-12 9,3025 9,2975 11,58 11,58 107,72295 107,66505 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-15 9,3065 9,3015 11,6 11,6 107,9554 107,8974 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-16 9,2995 9,2945 11,58 11,58 107,68821 107,63031 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-17 9,3405 9,3355 11,49 11,49 107,322345 107,264895 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-18 9,3365 9,3315 11,46 11,46 106,99629 106,93899 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-19 9,3395 9,3345 11,53 11,53 107,684435 107,626785 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-22 9,3655 9,3605 11,6 11,6 108,6398 108,5818 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-23 9,3715 9,3665 11,54 11,54 108,14711 108,08941 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-24 9,3365 9,3315 11,45 11,45 106,902925 106,845675 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-25 9,3335 9,3285 11,42 11,42 106,58857 106,53147 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-26 9,3415 9,3365 11,41 11,41 106,586515 106,529465 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-30 9,3285 9,3235 11,47 11,47 106,997895 106,940545 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-08-31 9,3585 9,3535 11,54 11,54 107,99709 107,93939 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-01 9,3365 9,3315 11,67 11,67 108,956955 108,898605 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-02 9,3025 9,2975 11,65 11,65 108,374125 108,315875 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-05 9,2845 9,2795 11,69 11,69 108,535805 108,477355 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-06 9,3225 9,3175 11,75 11,75 109,539375 109,480625 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-07 9,3075 9,3025 11,79 11,79 109,735425 109,676475 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-08 9,3255 9,3205 11,78 11,78 109,85439 109,79549 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-09 9,3445 9,3395 11,81 11,81 110,358545 110,299495 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-12 9,3015 9,2965 11,87 11,87 110,408805 110,349455 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-13 9,3015 9,2965 11,78 11,78 109,57167 109,51277 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-14 9,3365 9,3315 11,66 11,66 108,86359 108,80529 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-15 9,3425 9,3375 11,7 11,7 109,30725 109,24875 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-16 9,3465 9,3415 11,78 11,78 110,10177 110,04287 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-19 9,3355 9,3305 11,82 11,82 110,34561 110,28651 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-20 9,3395 9,3345 11,82 11,82 110,39289 110,33379 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-21 9,3405 9,3355 11,71 11,71 109,377255 109,318705 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-22 9,3405 9,3355 11,65 11,65 108,816825 108,758575 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-23 9,3695 9,3645 11,68 11,68 109,43576 109,37736 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-26 9,3815 9,3765 11,77 11,77 110,420255 110,361405 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-27 9,3885 9,3835 11,79 11,79 110,690415 110,631465 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-28 9,3935 9,3885 11,88 11,88 111,59478 111,53538 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-29 9,3845 9,3795 11,87 11,87 111,394015 111,334665 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-09-30 9,3435 9,3385 11,92 11,92 111,37452 111,31492 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-03 9,3025 9,2975 12,03 12,03 111,909075 111,848925 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-04 9,3185 9,3135 12,05 12,05 112,287925 112,227675 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-05 9,3105 9,3055 12 12 111,726 111,666 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-06 9,3015 9,2965 11,75 11,75 109,292625 109,233875 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-07 9,3385 9,3335 11,73 11,73 109,540605 109,481955 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-10 9,3465 9,3415 11,76 11,76 109,91484 109,85604 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-11 9,3395 9,3345 11,8 11,8 110,2061 110,1471 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-12 9,3375 9,3325 11,75 11,75 109,715625 109,656875 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-13 9,3815 9,3765 11,51 11,51 107,981065 107,923515 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-14 9,4135 9,4085 11,51 11,51 108,349385 108,291835 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-17 9,4575 9,4525 11,53 11,53 109,044975 108,987325 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-18 9,4625 9,4575 11,46 11,46 108,44025 108,38295 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-19 9,4605 9,4555 11,24 11,24 106,33602 106,27982 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-20 9,4935 9,4885 11,35 11,35 107,751225 107,694475 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-21 9,4915 9,4865 11,23 11,23 106,589545 106,533395 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-24 9,5455 9,5405 11,37 11,37 108,532335 108,475485 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-25 9,5465 9,5415 11,41 11,41 108,925565 108,868515 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-26 9,4975 9,4925 11,42 11,42 108,46145 108,40435 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-27 9,5355 9,5305 11,32 11,32 107,94186 107,88526 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-28 9,5135 9,5085 11,28 11,28 107,31228 107,25588 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-10-31 9,5495 9,5445 11,52 11,52 110,01024 109,95264 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-01 9,5495 9,5445 11,58 11,58 110,58321 110,52531 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-02 9,5855 9,5805 11,58 11,58 111,00009 110,94219 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-03 9,6515 9,6465 11,8 11,8 113,8877 113,8287 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-04 9,5875 9,5825 11,81 11,81 113,228375 113,169325 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-07 9,6075 9,6025 11,86 11,86 113,94495 113,88565 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-08 9,5685 9,5635 11,83 11,83 113,195355 113,136205 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-09 9,5575 9,5525 11,84 11,84 113,1608 113,1016 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-10 9,6105 9,6055 11,88 11,88 114,17274 114,11334 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-11 9,6365 9,6315 11,93 11,93 114,963445 114,903795 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-14 9,5505 9,5455 11,96 11,96 114,22398 114,16418 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-15 9,5805 9,5755 11,87 11,87 113,720535 113,661185 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-16 9,6235 9,6185 11,84 11,84 113,94224 113,88304 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-17 9,6355 9,6305 11,93 11,93 114,951515 114,891865 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-18 9,6085 9,6035 12,02 12,02 115,49417 115,43407 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-21 9,5915 9,5865 12 12 115,098 115,038 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-22 9,5585 9,5535 12,05 12,05 115,179925 115,119675 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-23 9,5155 9,5105 12,09 12,09 115,042395 114,981945 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-24 9,5125 9,5075 12,06 12,06 114,72075 114,66045 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-25 9,4965 9,4915 12,13 12,13 115,192545 115,131895 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-28 9,4835 9,4785 12,11 12,11 114,845185 114,784635 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-29 9,4785 9,4735 12,1 12,1 114,68985 114,62935 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-11-30 9,5295 9,5245 12,08 12,08 115,11636 115,05596 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-01 9,5165 9,5115 12,22 12,22 116,29163 116,23053 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-02 9,4905 9,4855 12,34 12,34 117,11277 117,05107 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-05 9,4065 9,4015 12,37 12,37 116,358405 116,296555 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-06 9,4185 9,4135 12,39 12,39 116,695215 116,633265 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-07 9,4255 9,4205 12,44 12,44 117,25322 117,19102 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-08 9,3965 9,3915 12,37 12,37 116,234705 116,172855 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-12 9,4315 9,4265 12,42 12,42 117,13923 117,07713 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-13 9,4295 9,4245 12,4 12,4 116,9258 116,8638 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-14 9,4365 9,4315 12,38 12,38 116,82387 116,76197 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-15 9,4345 9,4295 12,37 12,37 116,704765 116,642915 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-16 9,4765 9,4715 12,43 12,43 117,792895 117,730745 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-19 9,4535 9,4485 12,44 12,44 117,60154 117,53934 855445 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Dynamic Fund EUR 2005-12-20 9,4015 9,3965 12,46 12,46 117,14269 117,08039 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-04 9,0345 9,0295 33,7 33,7 304,46265 304,29415 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-05 9,0615 9,0565 33,58 33,58 304,28517 304,11727 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-07 9,0615 9,0565 33,87 33,87 306,913005 306,743655 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-10 9,08619 9,08119 33,91 33,91 308,1127029 307,9431529 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-11 9,08619 9,08119 33,72 33,72 306,3863268 306,2177268 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-12 9,0455 9,0405 33,47 33,47 302,752885 302,585535 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-13 9,0505 9,0455 33,62 33,62 304,27781 304,10971 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-14 9,0455 9,0405 33,85 33,85 306,190175 306,020925 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-17 9,0685 9,0635 33,97 33,97 308,056945 307,887095 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-18 9,0585 9,0535 33,94 33,94 307,44549 307,27579 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-19 9,0225 9,0175 34,19 34,19 308,479275 308,308325 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-20 9,0315 9,0265 33,99 33,99 306,980685 306,810735 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-21 9,0505 9,0455 33,99 33,99 307,626495 307,456545 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-24 9,0655 9,0605 33,91 33,91 307,411105 307,241555 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-25 9,0715 9,0665 34,15 34,15 309,791725 309,620975 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-26 9,0885 9,0835 34,26 34,26 311,37201 311,20071 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-27 9,0675 9,0625 34,21 34,21 310,199175 310,028125 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-28 9,0955 9,0905 34,3 34,3 311,97565 311,80415 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-01-31 9,1075 9,1025 34,49 34,49 314,117675 313,945225 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-01 9,1035 9,0985 34,6 34,6 314,9811 314,8081 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-02 9,0905 9,0855 34,86 34,86 316,89483 316,72053 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-03 9,0695 9,0645 34,92 34,92 316,70694 316,53234 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-04 9,0895 9,0845 35,17 35,17 319,677715 319,501865 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-07 9,0755 9,0705 35,47 35,47 321,907985 321,730635 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-08 9,0895 9,0845 35,49 35,49 322,586355 322,408905 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-09 9,0695 9,0645 35,55 35,55 322,420725 322,242975 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-10 9,0805 9,0755 35,55 35,55 322,811775 322,634025 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-11 9,0935 9,0885 35,7 35,7 324,63795 324,45945 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-14 9,1105 9,1055 35,86 35,86 326,70253 326,52323 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-15 9,0765 9,0715 35,96 35,96 326,39094 326,21114 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-16 9,0705 9,0655 35,79 35,79 324,633195 324,454245 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-17 9,0925 9,0875 36,04 36,04 327,6937 327,5135 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-18 9,0945 9,0895 35,99 35,99 327,311055 327,131105 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-21 9,1185 9,1135 35,93 35,93 327,627705 327,448055 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-22 9,0975 9,0925 35,55 35,55 323,416125 323,238375 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-23 9,1045 9,0995 35,44 35,44 322,66348 322,48628 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-24 9,0715 9,0665 35,56 35,56 322,58254 322,40474 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-25 9,0845 9,0795 35,84 35,84 325,58848 325,40928 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-02-28 9,0505 9,0455 36,1 36,1 326,72305 326,54255 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-01 9,0565 9,0515 36,18 36,18 327,66417 327,48327 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-02 9,0645 9,0595 36,06 36,06 326,86587 326,68557 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-03 9,0675 9,0625 36,2 36,2 328,2435 328,0625 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-04 9,0415 9,0365 36,37 36,37 328,839355 328,657505 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-07 9,0425 9,0375 36,39 36,39 329,056575 328,874625 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-08 9,0345 9,0295 36,25 36,25 327,500625 327,319375 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-09 9,0365 9,0315 36,08 36,08 326,03692 325,85652 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-10 9,0655 9,0605 35,91 35,91 325,542105 325,362555 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-11 9,0795 9,0745 35,93 35,93 326,226435 326,046785 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-14 9,0695 9,0645 35,76 35,76 324,32532 324,14652 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-15 9,1035 9,0985 36,01 36,01 327,817035 327,636985 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-16 9,0975 9,0925 35,74 35,74 325,14465 324,96595 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-17 9,1045 9,0995 35,67 35,67 324,757515 324,579165 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-18 9,1035 9,0985 35,83 35,83 326,178405 325,999255 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-21 9,1265 9,1215 35,79 35,79 326,637435 326,458485 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-22 9,1265 9,1215 35,67 35,67 325,542255 325,363905 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-23 9,1165 9,1115 35,45 35,45 323,179925 323,002675 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-24 9,1135 9,1085 35,71 35,71 325,443085 325,264535 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-29 9,1315 9,1265 35,69 35,69 325,903235 325,724785 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-30 9,1425 9,1375 35,56 35,56 325,1073 324,9295 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-03-31 9,1405 9,1355 35,82 35,82 327,41271 327,23361 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-01 9,1645 9,1595 36,04 36,04 330,28858 330,10838 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-04 9,1695 9,1645 35,73 35,73 327,626235 327,447585 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-05 9,1745 9,1695 36,04 36,04 330,64898 330,46878 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-06 9,1705 9,1655 36,12 36,12 331,23846 331,05786 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-07 9,1505 9,1455 36,22 36,22 331,43111 331,25001 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-08 9,1625 9,1575 36,41 36,41 333,606625 333,424575 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-11 9,1705 9,1655 36,29 36,29 332,797445 332,615995 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-12 9,1525 9,1475 36,23 36,23 331,595075 331,413925 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-13 9,1495 9,1445 36,35 36,35 332,584325 332,402575 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-14 9,1685 9,1635 36,28 36,28 332,63318 332,45178 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-15 9,1925 9,1875 35,72 35,72 328,3561 328,1775 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-18 9,1805 9,1755 34,98 34,98 321,13389 320,95899 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-19 9,2035 9,1985 35,2 35,2 323,9632 323,7872 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-20 9,1915 9,1865 34,95 34,95 321,242925 321,068175 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-21 9,1855 9,1805 35,02 35,02 321,67621 321,50111 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-22 9,1625 9,1575 35,2 35,2 322,52 322,344 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-25 9,1685 9,1635 35,32 35,32 323,83142 323,65482 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-26 9,1375 9,1325 35,13 35,13 321,000375 320,824725 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-27 9,1465 9,1415 34,63 34,63 316,743295 316,570145 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-28 9,1505 9,1455 34,49 34,49 315,600745 315,428295 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-04-29 9,1705 9,1655 34,74 34,74 318,58317 318,40947 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-03 9,2245 9,2195 34,92 34,92 322,11954 321,94494 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-04 9,1915 9,1865 34,94 34,94 321,15101 320,97631 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-06 9,1715 9,1665 35,42 35,42 324,85453 324,67743 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-09 9,1815 9,1765 35,29 35,29 324,015135 323,838685 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-10 9,1985 9,1935 35,08 35,08 322,68338 322,50798 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-11 9,2105 9,2055 35,11 35,11 323,380655 323,205105 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-12 9,2315 9,2265 35,22 35,22 325,13343 324,95733 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-13 9,2045 9,1995 35,01 35,01 322,249545 322,074495 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-16 9,2145 9,2095 34,93 34,93 321,862485 321,687835 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-17 9,2325 9,2275 35,01 35,01 323,229825 323,054775 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-18 9,2095 9,2045 35,34 35,34 325,46373 325,28703 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-19 9,1905 9,1855 35,63 35,63 327,457515 327,279365 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-20 9,1955 9,1905 35,74 35,74 328,64717 328,46847 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-23 9,1805 9,1755 35,79 35,79 328,570095 328,391145 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-24 9,1815 9,1765 35,79 35,79 328,605885 328,426935 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-25 9,1785 9,1735 35,85 35,85 329,049225 328,869975 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-26 9,1945 9,1895 36,02 36,02 331,18589 331,00579 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-27 9,1955 9,1905 36,06 36,06 331,58973 331,40943 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-05-31 9,1665 9,1615 36,29 36,29 332,652285 332,470835 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-01 9,1455 9,1405 36,5 36,5 333,81075 333,62825 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-02 9,1565 9,1515 36,76 36,76 336,59294 336,40914 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-03 9,1315 9,1265 36,73 36,73 335,399995 335,216345 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-07 9,1455 9,1405 36,94 36,94 337,83477 337,65007 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-08 9,1455 9,1405 36,9 36,9 337,46895 337,28445 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-09 9,1965 9,1915 36,83 36,83 338,707095 338,522945 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-10 9,1975 9,1925 37,15 37,15 341,687125 341,501375 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-13 9,2365 9,2315 37,08 37,08 342,48942 342,30402 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-14 9,2985 9,2935 37,25 37,25 346,369125 346,182875 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-15 9,2695 9,2645 37,29 37,29 345,659655 345,473205 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-16 9,2695 9,2645 37,34 37,34 346,12313 345,93643 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-17 9,2695 9,2645 37,68 37,68 349,27476 349,08636 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-20 9,2255 9,2205 37,51 37,51 346,048505 345,860955 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-21 9,2725 9,2675 37,62 37,62 348,83145 348,64335 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-22 9,2615 9,2565 37,74 37,74 349,52901 349,34031 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-23 9,3535 9,3485 37,82 37,82 353,74937 353,56027 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-27 9,3855 9,3805 37,27 37,27 349,797585 349,611235 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-28 9,3995 9,3945 37,53 37,53 352,763235 352,575585 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-29 9,4215 9,4165 37,69 37,69 355,096335 354,907885 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-06-30 9,4415 9,4365 37,79 37,79 356,794285 356,605335 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-01 9,4595 9,4545 37,82 37,82 357,75829 357,56919 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-04 9,4795 9,4745 38,09 38,09 361,074155 360,883705 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-05 9,4575 9,4525 37,94 37,94 358,81755 358,62785 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-06 9,4195 9,4145 38,3 38,3 360,76685 360,57535 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-07 9,3965 9,3915 37,43 37,43 351,710995 351,523845 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-08 9,4175 9,4125 38,01 38,01 357,959175 357,769125 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-11 9,4665 9,4615 38,28 38,28 362,37762 362,18622 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-12 9,4645 9,4595 38,21 38,21 361,638545 361,447495 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-13 9,3915 9,3865 38,39 38,39 360,539685 360,347735 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-14 9,3675 9,3625 38,56 38,56 361,2108 361,018 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-15 9,4055 9,4005 38,43 38,43 361,453365 361,261215 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-18 9,3895 9,3845 38,32 38,32 359,80564 359,61404 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-19 9,4425 9,4375 38,4 38,4 362,592 362,4 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-20 9,4265 9,4215 38,26 38,26 360,65789 360,46659 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-21 9,4625 9,4575 38,36 38,36 362,9815 362,7897 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-22 9,4495 9,4445 38,37 38,37 362,577315 362,385465 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-25 9,4275 9,4225 38,48 38,48 362,7702 362,5778 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-26 9,4155 9,4105 38,55 38,55 362,967525 362,774775 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-27 9,4725 9,4675 38,72 38,72 366,7752 366,5816 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-28 9,4515 9,4465 38,9 38,9 367,66335 367,46885 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-07-29 9,3885 9,3835 39,03 39,03 366,433155 366,238005 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-01 9,3985 9,3935 39,01 39,01 366,635485 366,440435 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-02 9,3995 9,3945 39,15 39,15 367,990425 367,794675 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-03 9,3755 9,3705 39,21 39,21 367,613355 367,417305 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-04 9,3735 9,3685 39,01 39,01 365,660235 365,465185 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-05 9,3355 9,3305 38,96 38,96 363,71108 363,51628 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-08 9,3335 9,3285 39,12 39,12 365,12652 364,93092 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-09 9,3455 9,3405 39,23 39,23 366,623965 366,427815 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-10 9,3535 9,3485 39,58 39,58 370,21153 370,01363 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-11 9,3365 9,3315 39,5 39,5 368,79175 368,59425 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-12 9,3025 9,2975 39,45 39,45 366,983625 366,786375 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-15 9,3065 9,3015 39,44 39,44 367,04836 366,85116 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-16 9,2995 9,2945 39,42 39,42 366,58629 366,38919 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-17 9,3405 9,3355 39,21 39,21 366,241005 366,044955 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-18 9,3365 9,3315 39,1 39,1 365,05715 364,86165 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-19 9,3395 9,3345 39,31 39,31 367,135745 366,939195 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-22 9,3655 9,3605 39,51 39,51 370,030905 369,833355 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-23 9,3715 9,3665 39,28 39,28 368,11252 367,91612 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-24 9,3365 9,3315 39 39 364,1235 363,9285 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-25 9,3335 9,3285 38,86 38,86 362,69981 362,50551 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-26 9,3415 9,3365 38,73 38,73 361,796295 361,602645 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-30 9,3285 9,3235 38,86 38,86 362,50551 362,31121 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-08-31 9,3585 9,3535 39,08 39,08 365,73018 365,53478 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-01 9,3365 9,3315 39,41 39,41 367,951465 367,754415 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-02 9,3025 9,2975 39,37 39,37 366,239425 366,042575 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-05 9,2845 9,2795 39,59 39,59 367,573355 367,375405 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-06 9,3225 9,3175 39,76 39,76 370,6626 370,4638 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-07 9,3075 9,3025 40,01 40,01 372,393075 372,193025 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-08 9,3255 9,3205 39,95 39,95 372,553725 372,353975 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-09 9,3445 9,3395 40,11 40,11 374,807895 374,607345 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-12 9,3015 9,2965 40,2 40,2 373,9203 373,7193 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-13 9,3015 9,2965 39,98 39,98 371,87397 371,67407 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-14 9,3365 9,3315 39,33 39,33 367,204545 367,007895 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-15 9,3425 9,3375 39,5 39,5 369,02875 368,83125 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-16 9,3465 9,3415 39,72 39,72 371,24298 371,04438 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-19 9,3355 9,3305 39,9 39,9 372,48645 372,28695 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-20 9,3395 9,3345 39,93 39,93 372,926235 372,726585 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-21 9,3405 9,3355 39,59 39,59 369,790395 369,592445 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-22 9,3405 9,3355 39,39 39,39 367,922295 367,725345 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-23 9,3695 9,3645 39,45 39,45 369,626775 369,429525 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-26 9,3815 9,3765 39,87 39,87 374,040405 373,841055 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-27 9,3885 9,3835 39,92 39,92 374,78892 374,58932 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-28 9,3935 9,3885 40,16 40,16 377,24296 377,04216 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-29 9,3845 9,3795 40,13 40,13 376,599985 376,399335 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-09-30 9,3435 9,3385 40,2 40,2 375,6087 375,4077 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-03 9,3025 9,2975 40,52 40,52 376,9373 376,7347 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-04 9,3185 9,3135 40,52 40,52 377,58562 377,38302 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-05 9,3105 9,3055 40,31 40,31 375,306255 375,104705 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-06 9,3015 9,2965 39,54 39,54 367,78131 367,58361 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-07 9,3385 9,3335 39,46 39,46 368,49721 368,29991 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-10 9,3465 9,3415 39,45 39,45 368,719425 368,522175 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-11 9,3395 9,3345 39,56 39,56 369,47062 369,27282 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-12 9,3375 9,3325 39,41 39,41 367,990875 367,793825 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-13 9,3815 9,3765 38,7 38,7 363,06405 362,87055 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-14 9,4135 9,4085 38,71 38,71 364,396585 364,203035 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-17 9,4575 9,4525 38,8 38,8 366,951 366,757 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-18 9,4625 9,4575 38,59 38,59 365,157875 364,964925 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-19 9,4605 9,4555 37,95 37,95 359,025975 358,836225 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-20 9,4935 9,4885 38,22 38,22 362,84157 362,65047 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-21 9,4915 9,4865 37,8 37,8 358,7787 358,5897 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-24 9,5455 9,5405 38,22 38,22 364,82901 364,63791 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-25 9,5465 9,5415 38,3 38,3 365,63095 365,43945 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-26 9,4975 9,4925 38,34 38,34 364,13415 363,94245 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-27 9,5355 9,5305 38,09 38,09 363,207195 363,016745 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-28 9,5135 9,5085 37,95 37,95 361,037325 360,847575 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-10-31 9,5495 9,5445 38,84 38,84 370,90258 370,70838 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-01 9,5495 9,5445 39,04 39,04 372,81248 372,61728 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-02 9,5855 9,5805 39,03 39,03 374,122065 373,926915 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-03 9,6515 9,6465 39,82 39,82 384,32273 384,12363 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-04 9,5875 9,5825 39,84 39,84 381,966 381,7668 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-07 9,6075 9,6025 39,97 39,97 384,011775 383,811925 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-08 9,5685 9,5635 39,86 39,86 381,40041 381,20111 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-09 9,5575 9,5525 39,92 39,92 381,5354 381,3358 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-10 9,6105 9,6055 39,99 39,99 384,323895 384,123945 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-11 9,6365 9,6315 40,16 40,16 387,00184 386,80104 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-14 9,5505 9,5455 40,37 40,37 385,553685 385,351835 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-15 9,5805 9,5755 40,05 40,05 383,699025 383,498775 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-16 9,6235 9,6185 39,9 39,9 383,97765 383,77815 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-17 9,6355 9,6305 40,19 40,19 387,250745 387,049795 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-18 9,6085 9,6035 40,33 40,33 387,510805 387,309155 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-21 9,5915 9,5865 40,33 40,33 386,825195 386,623545 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-22 9,5585 9,5535 40,58 40,58 387,88393 387,68103 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-23 9,5155 9,5105 40,77 40,77 387,946935 387,743085 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-24 9,5125 9,5075 40,74 40,74 387,53925 387,33555 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-25 9,4965 9,4915 40,9 40,9 388,40685 388,20235 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-28 9,4835 9,4785 40,78 40,78 386,73713 386,53323 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-29 9,4785 9,4735 40,74 40,74 386,15409 385,95039 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-11-30 9,5295 9,5245 40,61 40,61 386,992995 386,789945 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-01 9,5165 9,5115 40,99 40,99 390,081335 389,876385 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-02 9,4905 9,4855 41,36 41,36 392,52708 392,32028 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-05 9,4065 9,4015 41,46 41,46 389,99349 389,78619 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-06 9,4185 9,4135 41,5 41,5 390,86775 390,66025 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-07 9,4255 9,4205 41,63 41,63 392,383565 392,175415 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-08 9,3965 9,3915 41,41 41,41 389,109065 388,902015 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-12 9,4315 9,4265 41,62 41,62 392,53903 392,33093 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-13 9,4295 9,4245 41,6 41,6 392,2672 392,0592 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-14 9,4365 9,4315 41,52 41,52 391,80348 391,59588 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-15 9,4345 9,4295 41,47 41,47 391,248715 391,041365 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-16 9,4765 9,4715 41,66 41,66 394,79099 394,58269 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-19 9,4535 9,4485 41,63 41,63 393,549205 393,341055 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-20 9,4015 9,3965 41,7 41,7 392,04255 391,83405 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-21 9,4485 9,4435 42 42 396,837 396,627 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-22 9,4365 9,4315 42,1 42,1 397,27665 397,06615 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-23 9,4425 9,4375 42,19 42,19 398,379075 398,168125 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-28 9,4345 9,4295 42,19 42,19 398,041555 397,830605 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-29 9,4115 9,4065 42,37 42,37 398,765255 398,553405 412734 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Equity Fund EUR 2005-12-30 9,4325 9,4275 42,26 42,26 398,61745 398,40615 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-03 9,0065 9,0015 3,01 3,01 27,109565 27,094515 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-04 9,0345 9,0295 3,01 3,01 27,193845 27,178795 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-05 9,0615 9,0565 3,01 3,01 27,275115 27,260065 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-07 9,0615 9,0565 3,01 3,01 27,275115 27,260065 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-10 9,08619 9,08119 3,01 3,01 27,3494319 27,3343819 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-11 9,08619 9,08119 3,02 3,02 27,4402938 27,4251938 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-12 9,0455 9,0405 3,01 3,01 27,226955 27,211905 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-13 9,0505 9,0455 3,02 3,02 27,33251 27,31741 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-14 9,0455 9,0405 3,02 3,02 27,31741 27,30231 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-17 9,0685 9,0635 3,02 3,02 27,38687 27,37177 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-18 9,0585 9,0535 3,02 3,02 27,35667 27,34157 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-19 9,0225 9,0175 3,02 3,02 27,24795 27,23285 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-20 9,0315 9,0265 3,02 3,02 27,27513 27,26003 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-21 9,0505 9,0455 3,01 3,01 27,242005 27,226955 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-24 9,0655 9,0605 3,02 3,02 27,37781 27,36271 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-25 9,0715 9,0665 3,02 3,02 27,39593 27,38083 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-26 9,0885 9,0835 3,02 3,02 27,44727 27,43217 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-27 9,0675 9,0625 3,02 3,02 27,38385 27,36875 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-28 9,0955 9,0905 3,03 3,03 27,559365 27,544215 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-01-31 9,1075 9,1025 3,03 3,03 27,595725 27,580575 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-01 9,1035 9,0985 3,03 3,03 27,583605 27,568455 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-02 9,0905 9,0855 3,03 3,03 27,544215 27,529065 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-03 9,0695 9,0645 3,03 3,03 27,480585 27,465435 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-04 9,0895 9,0845 3,03 3,03 27,541185 27,526035 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-07 9,0755 9,0705 3,04 3,04 27,58952 27,57432 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-08 9,0895 9,0845 3,04 3,04 27,63208 27,61688 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-09 9,0695 9,0645 3,04 3,04 27,57128 27,55608 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-10 9,0805 9,0755 3,05 3,05 27,695525 27,680275 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-11 9,0935 9,0885 3,05 3,05 27,735175 27,719925 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-14 9,1105 9,1055 3,05 3,05 27,787025 27,771775 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-15 9,0765 9,0715 3,05 3,05 27,683325 27,668075 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-16 9,0705 9,0655 3,06 3,06 27,75573 27,74043 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-17 9,0925 9,0875 3,05 3,05 27,732125 27,716875 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-18 9,0945 9,0895 3,05 3,05 27,738225 27,722975 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-21 9,1185 9,1135 3,05 3,05 27,811425 27,796175 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-22 9,0975 9,0925 3,05 3,05 27,747375 27,732125 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-23 9,1045 9,0995 3,05 3,05 27,768725 27,753475 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-24 9,0715 9,0665 3,05 3,05 27,668075 27,652825 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-25 9,0845 9,0795 3,05 3,05 27,707725 27,692475 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-02-28 9,0505 9,0455 3,05 3,05 27,604025 27,588775 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-01 9,0565 9,0515 3,05 3,05 27,622325 27,607075 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-02 9,0645 9,0595 3,05 3,05 27,646725 27,631475 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-03 9,0675 9,0625 3,05 3,05 27,655875 27,640625 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-04 9,0415 9,0365 3,06 3,06 27,66699 27,65169 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-07 9,0425 9,0375 3,06 3,06 27,67005 27,65475 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-08 9,0345 9,0295 3,06 3,06 27,64557 27,63027 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-09 9,0365 9,0315 3,06 3,06 27,65169 27,63639 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-10 9,0655 9,0605 3,06 3,06 27,74043 27,72513 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-11 9,0795 9,0745 3,06 3,06 27,78327 27,76797 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-14 9,0695 9,0645 3,06 3,06 27,75267 27,73737 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-15 9,1035 9,0985 3,06 3,06 27,85671 27,84141 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-16 9,0975 9,0925 3,05 3,05 27,747375 27,732125 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-17 9,1045 9,0995 3,05 3,05 27,768725 27,753475 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-18 9,1035 9,0985 3,04 3,04 27,67464 27,65944 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-21 9,1265 9,1215 3,04 3,04 27,74456 27,72936 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-22 9,1265 9,1215 3,02 3,02 27,56203 27,54693 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-23 9,1165 9,1115 3,02 3,02 27,53183 27,51673 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-24 9,1135 9,1085 3,02 3,02 27,52277 27,50767 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-29 9,1315 9,1265 3,02 3,02 27,57713 27,56203 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-30 9,1425 9,1375 3,01 3,01 27,518925 27,503875 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-03-31 9,1405 9,1355 3,01 3,01 27,512905 27,497855 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-01 9,1645 9,1595 3 3 27,4935 27,4785 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-04 9,1695 9,1645 3 3 27,5085 27,4935 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-05 9,1745 9,1695 2,99 2,99 27,431755 27,416805 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-06 9,1705 9,1655 2,99 2,99 27,419795 27,404845 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-07 9,1505 9,1455 3 3 27,4515 27,4365 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-08 9,1625 9,1575 3,01 3,01 27,579125 27,564075 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-11 9,1705 9,1655 3,01 3,01 27,603205 27,588155 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-12 9,1525 9,1475 3,01 3,01 27,549025 27,533975 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-13 9,1495 9,1445 3,01 3,01 27,539995 27,524945 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-14 9,1685 9,1635 3 3 27,5055 27,4905 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-15 9,1925 9,1875 3 3 27,5775 27,5625 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-18 9,1805 9,1755 2,99 2,99 27,449695 27,434745 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-19 9,2035 9,1985 2,98 2,98 27,42643 27,41153 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-20 9,1915 9,1865 2,98 2,98 27,39067 27,37577 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-21 9,1855 9,1805 2,99 2,99 27,464645 27,449695 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-22 9,1625 9,1575 2,99 2,99 27,395875 27,380925 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-25 9,1685 9,1635 3 3 27,5055 27,4905 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-26 9,1375 9,1325 3 3 27,4125 27,3975 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-27 9,1465 9,1415 3 3 27,4395 27,4245 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-28 9,1505 9,1455 2,99 2,99 27,359995 27,345045 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-04-29 9,1705 9,1655 2,99 2,99 27,419795 27,404845 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-02 9,1935 9,1885 2,99 2,99 27,488565 27,473615 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-03 9,2245 9,2195 2,99 2,99 27,581255 27,566305 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-04 9,1915 9,1865 2,99 2,99 27,482585 27,467635 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-06 9,1715 9,1665 2,98 2,98 27,33107 27,31617 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-09 9,1815 9,1765 2,98 2,98 27,36087 27,34597 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-10 9,1985 9,1935 2,97 2,97 27,319545 27,304695 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-11 9,2105 9,2055 2,97 2,97 27,355185 27,340335 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-12 9,2315 9,2265 2,96 2,96 27,32524 27,31044 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-13 9,2045 9,1995 2,95 2,95 27,153275 27,138525 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-17 9,2325 9,2275 2,93 2,93 27,051225 27,036575 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-18 9,2095 9,2045 2,93 2,93 26,983835 26,969185 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-19 9,1905 9,1855 2,93 2,93 26,928165 26,913515 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-20 9,1955 9,1905 2,94 2,94 27,03477 27,02007 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-23 9,1805 9,1755 2,94 2,94 26,99067 26,97597 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-24 9,1815 9,1765 2,95 2,95 27,085425 27,070675 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-25 9,1785 9,1735 2,96 2,96 27,16836 27,15356 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-26 9,1945 9,1895 2,97 2,97 27,307665 27,292815 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-27 9,1955 9,1905 2,97 2,97 27,310635 27,295785 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-30 9,1905 9,1855 2,98 2,98 27,38769 27,37279 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-05-31 9,1665 9,1615 2,98 2,98 27,31617 27,30127 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-01 9,1455 9,1405 2,98 2,98 27,25359 27,23869 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-02 9,1565 9,1515 2,98 2,98 27,28637 27,27147 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-03 9,1315 9,1265 2,99 2,99 27,303185 27,288235 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-07 9,1455 9,1405 3,01 3,01 27,527955 27,512905 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-08 9,1455 9,1405 3,01 3,01 27,527955 27,512905 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-09 9,1965 9,1915 3,01 3,01 27,681465 27,666415 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-10 9,1975 9,1925 3,01 3,01 27,684475 27,669425 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-13 9,2365 9,2315 3,01 3,01 27,801865 27,786815 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-14 9,2985 9,2935 3,01 3,01 27,988485 27,973435 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-15 9,2695 9,2645 3,01 3,01 27,901195 27,886145 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-16 9,2695 9,2645 3,01 3,01 27,901195 27,886145 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-17 9,2695 9,2645 3,01 3,01 27,901195 27,886145 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-20 9,2255 9,2205 3,01 3,01 27,768755 27,753705 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-21 9,2725 9,2675 3,02 3,02 28,00295 27,98785 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-22 9,2615 9,2565 3,02 3,02 27,96973 27,95463 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-27 9,3855 9,3805 3,02 3,02 28,34421 28,32911 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-28 9,3995 9,3945 3,02 3,02 28,38649 28,37139 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-29 9,4215 9,4165 3,03 3,03 28,547145 28,531995 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-06-30 9,4415 9,4365 3,03 3,03 28,607745 28,592595 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-01 9,4595 9,4545 3,03 3,03 28,662285 28,647135 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-04 9,4795 9,4745 3,03 3,03 28,722885 28,707735 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-05 9,4575 9,4525 2,84 2,84 26,8593 26,8451 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-06 9,4195 9,4145 2,85 2,85 26,845575 26,831325 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-07 9,3965 9,3915 2,85 2,85 26,780025 26,765775 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-08 9,4175 9,4125 2,85 2,85 26,839875 26,825625 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-11 9,4665 9,4615 2,85 2,85 26,979525 26,965275 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-12 9,4645 9,4595 2,85 2,85 26,973825 26,959575 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-13 9,3915 9,3865 2,86 2,86 26,85969 26,84539 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-14 9,3675 9,3625 2,86 2,86 26,79105 26,77675 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-15 9,4055 9,4005 2,86 2,86 26,89973 26,88543 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-18 9,3895 9,3845 2,87 2,87 26,947865 26,933515 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-19 9,4425 9,4375 2,87 2,87 27,099975 27,085625 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-20 9,4265 9,4215 2,87 2,87 27,054055 27,039705 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-21 9,4625 9,4575 2,87 2,87 27,157375 27,143025 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-22 9,4495 9,4445 2,87 2,87 27,120065 27,105715 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-25 9,4275 9,4225 2,87 2,87 27,056925 27,042575 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-26 9,4155 9,4105 2,87 2,87 27,022485 27,008135 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-27 9,4725 9,4675 2,87 2,87 27,186075 27,171725 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-28 9,4515 9,4465 2,87 2,87 27,125805 27,111455 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-07-29 9,3885 9,3835 2,87 2,87 26,944995 26,930645 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-01 9,3985 9,3935 2,87 2,87 26,973695 26,959345 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-02 9,3995 9,3945 2,87 2,87 26,976565 26,962215 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-03 9,3755 9,3705 2,87 2,87 26,907685 26,893335 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-04 9,3735 9,3685 2,87 2,87 26,901945 26,887595 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-05 9,3355 9,3305 2,87 2,87 26,792885 26,778535 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-08 9,3335 9,3285 2,87 2,87 26,787145 26,772795 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-09 9,3455 9,3405 2,87 2,87 26,821585 26,807235 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-10 9,3535 9,3485 2,87 2,87 26,844545 26,830195 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-11 9,3365 9,3315 2,87 2,87 26,795755 26,781405 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-12 9,3025 9,2975 2,87 2,87 26,698175 26,683825 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-16 9,2995 9,2945 2,88 2,88 26,78256 26,76816 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-17 9,3405 9,3355 2,88 2,88 26,90064 26,88624 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-18 9,3365 9,3315 2,88 2,88 26,88912 26,87472 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-19 9,3395 9,3345 2,88 2,88 26,89776 26,88336 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-22 9,3655 9,3605 2,89 2,89 27,066295 27,051845 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-23 9,3715 9,3665 2,89 2,89 27,083635 27,069185 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-24 9,3365 9,3315 2,89 2,89 26,982485 26,968035 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-25 9,3335 9,3285 2,89 2,89 26,973815 26,959365 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-26 9,3415 9,3365 2,89 2,89 26,996935 26,982485 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-29 9,3295 9,3245 2,89 2,89 26,962255 26,947805 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-30 9,3285 9,3235 2,89 2,89 26,959365 26,944915 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-08-31 9,3585 9,3535 2,89 2,89 27,046065 27,031615 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-01 9,3365 9,3315 2,89 2,89 26,982485 26,968035 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-02 9,3025 9,2975 2,89 2,89 26,884225 26,869775 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-05 9,2845 9,2795 2,89 2,89 26,832205 26,817755 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-06 9,3225 9,3175 2,89 2,89 26,942025 26,927575 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-07 9,3075 9,3025 2,9 2,9 26,99175 26,97725 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-08 9,3255 9,3205 2,9 2,9 27,04395 27,02945 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-09 9,3445 9,3395 2,9 2,9 27,09905 27,08455 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-12 9,3015 9,2965 2,9 2,9 26,97435 26,95985 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-13 9,3015 9,2965 2,91 2,91 27,067365 27,052815 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-14 9,3365 9,3315 2,91 2,91 27,169215 27,154665 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-15 9,3425 9,3375 2,91 2,91 27,186675 27,172125 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-16 9,3465 9,3415 2,91 2,91 27,198315 27,183765 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-19 9,3355 9,3305 2,91 2,91 27,166305 27,151755 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-20 9,3395 9,3345 2,91 2,91 27,177945 27,163395 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-21 9,3405 9,3355 2,91 2,91 27,180855 27,166305 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-22 9,3405 9,3355 2,9 2,9 27,08745 27,07295 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-23 9,3695 9,3645 2,9 2,9 27,17155 27,15705 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-26 9,3815 9,3765 2,9 2,9 27,20635 27,19185 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-27 9,3885 9,3835 2,9 2,9 27,22665 27,21215 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-28 9,3935 9,3885 2,9 2,9 27,24115 27,22665 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-29 9,3845 9,3795 2,9 2,9 27,21505 27,20055 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-09-30 9,3435 9,3385 2,9 2,9 27,09615 27,08165 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-03 9,3025 9,2975 2,9 2,9 26,97725 26,96275 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-04 9,3185 9,3135 2,91 2,91 27,116835 27,102285 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-05 9,3105 9,3055 2,91 2,91 27,093555 27,079005 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-06 9,3015 9,2965 2,91 2,91 27,067365 27,052815 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-07 9,3385 9,3335 2,9 2,9 27,08165 27,06715 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-10 9,3465 9,3415 2,9 2,9 27,10485 27,09035 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-11 9,3395 9,3345 2,9 2,9 27,08455 27,07005 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-12 9,3375 9,3325 2,9 2,9 27,07875 27,06425 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-13 9,3815 9,3765 2,89 2,89 27,112535 27,098085 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-14 9,4135 9,4085 2,89 2,89 27,205015 27,190565 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-17 9,4575 9,4525 2,89 2,89 27,332175 27,317725 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-18 9,4625 9,4575 2,9 2,9 27,44125 27,42675 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-19 9,4605 9,4555 2,9 2,9 27,43545 27,42095 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-20 9,4935 9,4885 2,9 2,9 27,53115 27,51665 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-21 9,4915 9,4865 2,9 2,9 27,52535 27,51085 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-24 9,5455 9,5405 2,9 2,9 27,68195 27,66745 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-25 9,5465 9,5415 2,9 2,9 27,68485 27,67035 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-26 9,4975 9,4925 2,9 2,9 27,54275 27,52825 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-27 9,5355 9,5305 2,9 2,9 27,65295 27,63845 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-28 9,5135 9,5085 2,9 2,9 27,58915 27,57465 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-10-31 9,5495 9,5445 2,9 2,9 27,69355 27,67905 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-02 9,5855 9,5805 2,9 2,9 27,79795 27,78345 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-03 9,6515 9,6465 2,9 2,9 27,98935 27,97485 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-04 9,5875 9,5825 2,91 2,91 27,899625 27,885075 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-07 9,6075 9,6025 2,91 2,91 27,957825 27,943275 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-08 9,5685 9,5635 2,91 2,91 27,844335 27,829785 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-09 9,5575 9,5525 2,91 2,91 27,812325 27,797775 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-10 9,6105 9,6055 2,91 2,91 27,966555 27,952005 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-11 9,6365 9,6315 2,91 2,91 28,042215 28,027665 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-14 9,5505 9,5455 2,91 2,91 27,791955 27,777405 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-15 9,5805 9,5755 2,91 2,91 27,879255 27,864705 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-16 9,6235 9,6185 2,9 2,9 27,90815 27,89365 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-17 9,6355 9,6305 2,9 2,9 27,94295 27,92845 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-18 9,6085 9,6035 2,9 2,9 27,86465 27,85015 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-21 9,5915 9,5865 2,9 2,9 27,81535 27,80085 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-22 9,5585 9,5535 2,9 2,9 27,71965 27,70515 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-23 9,5155 9,5105 2,9 2,9 27,59495 27,58045 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-24 9,5125 9,5075 2,9 2,9 27,58625 27,57175 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-25 9,4965 9,4915 2,91 2,91 27,634815 27,620265 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-28 9,4835 9,4785 2,91 2,91 27,596985 27,582435 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-29 9,4785 9,4735 2,91 2,91 27,582435 27,567885 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-11-30 9,5295 9,5245 2,91 2,91 27,730845 27,716295 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-01 9,5165 9,5115 2,91 2,91 27,693015 27,678465 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-02 9,4905 9,4855 2,91 2,91 27,617355 27,602805 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-05 9,4065 9,4015 2,91 2,91 27,372915 27,358365 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-06 9,4185 9,4135 2,91 2,91 27,407835 27,393285 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-07 9,4255 9,4205 2,91 2,91 27,428205 27,413655 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-08 9,3965 9,3915 2,91 2,91 27,343815 27,329265 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-12 9,4315 9,4265 2,92 2,92 27,53998 27,52538 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-13 9,4295 9,4245 2,92 2,92 27,53414 27,51954 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-14 9,4365 9,4315 2,92 2,92 27,55458 27,53998 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-15 9,4345 9,4295 2,92 2,92 27,54874 27,53414 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-16 9,4765 9,4715 2,92 2,92 27,67138 27,65678 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-19 9,4535 9,4485 2,92 2,92 27,60422 27,58962 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-20 9,4015 9,3965 2,92 2,92 27,45238 27,43778 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-21 9,4485 9,4435 2,92 2,92 27,58962 27,57502 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-22 9,4365 9,4315 2,92 2,92 27,55458 27,53998 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-23 9,4425 9,4375 2,92 2,92 27,5721 27,5575 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-27 9,4915 9,4865 2,93 2,93 27,810095 27,795445 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-28 9,4345 9,4295 2,93 2,93 27,643085 27,628435 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-29 9,4115 9,4065 2,93 2,93 27,575695 27,561045 197756 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe High Yield Bond Fund EUR 2005-12-30 9,4325 9,4275 2,93 2,93 27,637225 27,622575 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-03 9,0065 9,0015 26,72 26,72 240,65368 240,52008 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-04 9,0345 9,0295 26,81 26,81 242,214945 242,080895 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-05 9,0615 9,0565 26,71 26,71 242,032665 241,899115 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-07 9,0615 9,0565 26,85 26,85 243,301275 243,167025 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-10 9,08619 9,08119 26,92 26,92 244,6002348 244,4656348 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-11 9,08619 9,08119 26,84 26,84 243,8733396 243,7391396 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-12 9,0455 9,0405 26,85 26,85 242,871675 242,737425 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-13 9,0505 9,0455 26,98 26,98 244,18249 244,04759 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-14 9,0455 9,0405 27,11 27,11 245,223505 245,087955 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-17 9,0685 9,0635 27,22 27,22 246,84457 246,70847 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-18 9,0585 9,0535 27,36 27,36 247,84056 247,70376 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-19 9,0225 9,0175 27,59 27,59 248,930775 248,792825 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-20 9,0315 9,0265 27,51 27,51 248,456565 248,319015 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-21 9,0505 9,0455 27,56 27,56 249,43178 249,29398 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-24 9,0655 9,0605 27,55 27,55 249,754525 249,616775 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-25 9,0715 9,0665 27,67 27,67 251,008405 250,870055 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-26 9,0885 9,0835 27,79 27,79 252,569415 252,430465 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-27 9,0675 9,0625 27,79 27,79 251,985825 251,846875 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-28 9,0955 9,0905 27,85 27,85 253,309675 253,170425 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-01-31 9,1075 9,1025 27,98 27,98 254,82785 254,68795 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-01 9,1035 9,0985 28,15 28,15 256,263525 256,122775 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-02 9,0905 9,0855 28,31 28,31 257,352055 257,210505 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-03 9,0695 9,0645 28,48 28,48 258,29936 258,15696 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-04 9,0895 9,0845 28,65 28,65 260,414175 260,270925 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-07 9,0755 9,0705 28,88 28,88 262,10044 261,95604 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-08 9,0895 9,0845 28,92 28,92 262,86834 262,72374 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-09 9,0695 9,0645 28,93 28,93 262,380635 262,235985 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-10 9,0805 9,0755 28,88 28,88 262,24484 262,10044 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-11 9,0935 9,0885 28,97 28,97 263,438695 263,293845 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-14 9,1105 9,1055 29,16 29,16 265,66218 265,51638 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-15 9,0765 9,0715 29,18 29,18 264,85227 264,70637 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-16 9,0705 9,0655 29,02 29,02 263,22591 263,08081 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-17 9,0925 9,0875 29,2 29,2 265,501 265,355 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-18 9,0945 9,0895 29,19 29,19 265,468455 265,322505 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-21 9,1185 9,1135 29,1 29,1 265,34835 265,20285 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-22 9,0975 9,0925 28,78 28,78 261,82605 261,68215 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-23 9,1045 9,0995 28,69 28,69 261,208105 261,064655 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-24 9,0715 9,0665 28,84 28,84 261,62206 261,47786 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-25 9,0845 9,0795 29,13 29,13 264,631485 264,485835 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-02-28 9,0505 9,0455 29,25 29,25 264,727125 264,580875 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-01 9,0565 9,0515 29,37 29,37 265,989405 265,842555 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-02 9,0645 9,0595 29,3 29,3 265,58985 265,44335 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-03 9,0675 9,0625 29,34 29,34 266,04045 265,89375 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-04 9,0415 9,0365 29,5 29,5 266,72425 266,57675 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-07 9,0425 9,0375 29,58 29,58 267,47715 267,32925 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-08 9,0345 9,0295 29,49 29,49 266,427405 266,279955 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-09 9,0365 9,0315 29,42 29,42 265,85383 265,70673 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-10 9,0655 9,0605 29,21 29,21 264,803255 264,657205 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-11 9,0795 9,0745 29,27 29,27 265,756965 265,610615 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-14 9,0695 9,0645 29,19 29,19 264,738705 264,592755 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-15 9,1035 9,0985 29,3 29,3 266,73255 266,58605 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-16 9,0975 9,0925 29,15 29,15 265,192125 265,046375 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-17 9,1045 9,0995 29,03 29,03 264,303635 264,158485 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-18 9,1035 9,0985 29,14 29,14 265,27599 265,13029 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-21 9,1265 9,1215 29,13 29,13 265,854945 265,709295 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-22 9,1265 9,1215 29,03 29,03 264,942295 264,797145 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-23 9,1165 9,1115 28,77 28,77 262,281705 262,137855 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-24 9,1135 9,1085 28,89 28,89 263,289015 263,144565 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-29 9,1315 9,1265 28,89 28,89 263,809035 263,664585 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-30 9,1425 9,1375 28,84 28,84 263,6697 263,5255 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-03-31 9,1405 9,1355 29,08 29,08 265,80574 265,66034 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-01 9,1645 9,1595 29,3 29,3 268,51985 268,37335 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-04 9,1695 9,1645 29,3 29,3 268,66635 268,51985 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-05 9,1745 9,1695 29,47 29,47 270,372515 270,225165 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-06 9,1705 9,1655 29,61 29,61 271,538505 271,390455 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-07 9,1505 9,1455 29,74 29,74 272,13587 271,98717 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-08 9,1625 9,1575 29,92 29,92 274,142 273,9924 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-11 9,1705 9,1655 29,91 29,91 274,289655 274,140105 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-12 9,1525 9,1475 29,94 29,94 274,02585 273,87615 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-13 9,1495 9,1445 30,06 30,06 275,03397 274,88367 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-14 9,1685 9,1635 29,96 29,96 274,68826 274,53846 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-15 9,1925 9,1875 29,49 29,49 271,086825 270,939375 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-18 9,1805 9,1755 28,75 28,75 263,939375 263,795625 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-19 9,2035 9,1985 29 29 266,9015 266,7565 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-20 9,1915 9,1865 29,08 29,08 267,28882 267,14342 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-21 9,1855 9,1805 28,95 28,95 265,920225 265,775475 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-22 9,1625 9,1575 29,1 29,1 266,62875 266,48325 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-25 9,1685 9,1635 29,16 29,16 267,35346 267,20766 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-26 9,1375 9,1325 29,13 29,13 266,175375 266,029725 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-27 9,1465 9,1415 28,65 28,65 262,047225 261,903975 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-28 9,1505 9,1455 28,42 28,42 260,05721 259,91511 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-04-29 9,1705 9,1655 28,41 28,41 260,533905 260,391855 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-02 9,1935 9,1885 28,52 28,52 262,19862 262,05602 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-03 9,2245 9,2195 28,56 28,56 263,45172 263,30892 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-04 9,1915 9,1865 28,5 28,5 261,95775 261,81525 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-06 9,1715 9,1665 28,74 28,74 263,58891 263,44521 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-09 9,1815 9,1765 28,79 28,79 264,335385 264,191435 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-10 9,1985 9,1935 28,8 28,8 264,9168 264,7728 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-11 9,2105 9,2055 28,79 28,79 265,170295 265,026345 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-12 9,2315 9,2265 28,94 28,94 267,15961 267,01491 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-13 9,2045 9,1995 28,79 28,79 264,997555 264,853605 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-16 9,2145 9,2095 28,67 28,67 264,179715 264,036365 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-17 9,2325 9,2275 28,7 28,7 264,97275 264,82925 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-18 9,2095 9,2045 28,82 28,82 265,41779 265,27369 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-19 9,1905 9,1855 29,06 29,06 267,07593 266,93063 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-20 9,1955 9,1905 29,09 29,09 267,497095 267,351645 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-23 9,1805 9,1755 29,25 29,25 268,529625 268,383375 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-24 9,1815 9,1765 29,35 29,35 269,477025 269,330275 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-25 9,1785 9,1735 29,45 29,45 270,306825 270,159575 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-26 9,1945 9,1895 29,66 29,66 272,70887 272,56057 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-27 9,1955 9,1905 29,73 29,73 273,382215 273,233565 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-30 9,1905 9,1855 29,87 29,87 274,520235 274,370885 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-05-31 9,1665 9,1615 30,11 30,11 276,003315 275,852765 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-01 9,1455 9,1405 30,25 30,25 276,651375 276,500125 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-02 9,1565 9,1515 30,47 30,47 278,998555 278,846205 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-03 9,1315 9,1265 30,53 30,53 278,784695 278,632045 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-07 9,1455 9,1405 30,79 30,79 281,589945 281,435995 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-08 9,1455 9,1405 30,91 30,91 282,687405 282,532855 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-09 9,1965 9,1915 30,93 30,93 284,447745 284,293095 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-10 9,1975 9,1925 31,16 31,16 286,5941 286,4383 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-13 9,2365 9,2315 31,34 31,34 289,47191 289,31521 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-14 9,2985 9,2935 31,41 31,41 292,065885 291,908835 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-15 9,2695 9,2645 31,49 31,49 291,896555 291,739105 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-16 9,2695 9,2645 31,54 31,54 292,36003 292,20233 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-17 9,2695 9,2645 31,65 31,65 293,379675 293,221425 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-20 9,2255 9,2205 31,68 31,68 292,26384 292,10544 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-21 9,2725 9,2675 31,77 31,77 294,587325 294,428475 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-22 9,2615 9,2565 31,82 31,82 294,70093 294,54183 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-23 9,3535 9,3485 31,99 31,99 299,218465 299,058515 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-27 9,3855 9,3805 31,6 31,6 296,5818 296,4238 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-28 9,3995 9,3945 31,77 31,77 298,622115 298,463265 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-29 9,4215 9,4165 31,9 31,9 300,54585 300,38635 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-06-30 9,4415 9,4365 31,92 31,92 301,37268 301,21308 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-01 9,4595 9,4545 32 32 302,704 302,544 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-04 9,4795 9,4745 32,17 32,17 304,955515 304,794665 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-05 9,4575 9,4525 32,16 32,16 304,1532 303,9924 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-06 9,4195 9,4145 32,39 32,39 305,097605 304,935655 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-07 9,3965 9,3915 31,89 31,89 299,654385 299,494935 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-08 9,4175 9,4125 32,41 32,41 305,221175 305,059125 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-11 9,4665 9,4615 32,61 32,61 308,702565 308,539515 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-12 9,4645 9,4595 32,63 32,63 308,826635 308,663485 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-13 9,3915 9,3865 32,74 32,74 307,47771 307,31401 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-14 9,3675 9,3625 32,77 32,77 306,972975 306,809125 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-15 9,4055 9,4005 32,71 32,71 307,653905 307,490355 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-18 9,3895 9,3845 32,69 32,69 306,942755 306,779305 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-19 9,4425 9,4375 32,72 32,72 308,9586 308,795 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-20 9,4265 9,4215 32,68 32,68 308,05802 307,89462 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-21 9,4625 9,4575 32,74 32,74 309,80225 309,63855 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-22 9,4495 9,4445 32,84 32,84 310,32158 310,15738 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-25 9,4275 9,4225 32,99 32,99 311,013225 310,848275 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-26 9,4155 9,4105 33,1 33,1 311,65305 311,48755 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-27 9,4725 9,4675 33,45 33,45 316,855125 316,687875 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-28 9,4515 9,4465 33,69 33,69 318,421035 318,252585 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-07-29 9,3885 9,3835 33,82 33,82 317,51907 317,34997 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-01 9,3985 9,3935 33,97 33,97 319,267045 319,097195 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-02 9,3995 9,3945 34,16 34,16 321,08692 320,91612 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-03 9,3755 9,3705 34,21 34,21 320,735855 320,564805 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-04 9,3735 9,3685 34,2 34,2 320,5737 320,4027 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-05 9,3355 9,3305 34,13 34,13 318,620615 318,449965 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-08 9,3335 9,3285 34,27 34,27 319,859045 319,687695 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-09 9,3455 9,3405 34,34 34,34 320,92447 320,75277 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-10 9,3535 9,3485 34,41 34,41 321,853935 321,681885 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-11 9,3365 9,3315 34,3 34,3 320,24195 320,07045 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-12 9,3025 9,2975 34,29 34,29 318,982725 318,811275 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-15 9,3065 9,3015 34,4 34,4 320,1436 319,9716 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-16 9,2995 9,2945 34,36 34,36 319,53082 319,35902 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-17 9,3405 9,3355 34,14 34,14 318,88467 318,71397 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-18 9,3365 9,3315 34,04 34,04 317,81446 317,64426 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-19 9,3395 9,3345 34,14 34,14 318,85053 318,67983 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-22 9,3655 9,3605 34,27 34,27 320,955685 320,784335 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-23 9,3715 9,3665 34,22 34,22 320,69273 320,52163 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-24 9,3365 9,3315 34,02 34,02 317,62773 317,45763 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-25 9,3335 9,3285 33,92 33,92 316,59232 316,42272 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-26 9,3415 9,3365 34,04 34,04 317,98466 317,81446 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-29 9,3295 9,3245 33,92 33,92 316,45664 316,28704 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-30 9,3285 9,3235 34,2 34,2 319,0347 318,8637 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-08-31 9,3585 9,3535 34,4 34,4 321,9324 321,7604 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-01 9,3365 9,3315 34,78 34,78 324,72347 324,54957 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-02 9,3025 9,2975 34,85 34,85 324,192125 324,017875 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-05 9,2845 9,2795 35,03 35,03 325,236035 325,060885 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-06 9,3225 9,3175 35,09 35,09 327,126525 326,951075 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-07 9,3075 9,3025 35,29 35,29 328,461675 328,285225 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-08 9,3255 9,3205 35,3 35,3 329,19015 329,01365 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-09 9,3445 9,3395 35,42 35,42 330,98219 330,80509 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-12 9,3015 9,2965 35,56 35,56 330,76134 330,58354 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-13 9,3015 9,2965 35,38 35,38 329,08707 328,91017 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-14 9,3365 9,3315 35,12 35,12 327,89788 327,72228 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-15 9,3425 9,3375 35,29 35,29 329,696825 329,520375 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-16 9,3465 9,3415 35,44 35,44 331,23996 331,06276 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-19 9,3355 9,3305 35,72 35,72 333,46406 333,28546 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-20 9,3395 9,3345 35,78 35,78 334,16731 333,98841 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-21 9,3405 9,3355 35,61 35,61 332,615205 332,437155 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-22 9,3405 9,3355 35,48 35,48 331,40094 331,22354 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-23 9,3695 9,3645 35,5 35,5 332,61725 332,43975 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-26 9,3815 9,3765 35,67 35,67 334,638105 334,459755 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-27 9,3885 9,3835 35,73 35,73 335,451105 335,272455 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-28 9,3935 9,3885 35,86 35,86 336,85091 336,67161 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-29 9,3845 9,3795 35,9 35,9 336,90355 336,72405 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-09-30 9,3435 9,3385 36,06 36,06 336,92661 336,74631 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-03 9,3025 9,2975 36,26 36,26 337,30865 337,12735 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-04 9,3185 9,3135 36,29 36,29 338,168365 337,986915 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-05 9,3105 9,3055 36,08 36,08 335,92284 335,74244 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-06 9,3015 9,2965 35,3 35,3 328,34295 328,16645 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-07 9,3385 9,3335 35,23 35,23 328,995355 328,819205 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-10 9,3465 9,3415 35,4 35,4 330,8661 330,6891 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-11 9,3395 9,3345 35,45 35,45 331,085275 330,908025 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-12 9,3375 9,3325 35,3 35,3 329,61375 329,43725 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-13 9,3815 9,3765 34,52 34,52 323,84938 323,67678 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-14 9,4135 9,4085 34,31 34,31 322,977185 322,805635 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-17 9,4575 9,4525 34,34 34,34 324,77055 324,59885 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-18 9,4625 9,4575 34,24 34,24 323,996 323,8248 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-19 9,4605 9,4555 33,23 33,23 314,372415 314,206265 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-20 9,4935 9,4885 33,74 33,74 320,31069 320,14199 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-21 9,4915 9,4865 33,13 33,13 314,453395 314,287745 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-24 9,5455 9,5405 33,78 33,78 322,44699 322,27809 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-25 9,5465 9,5415 33,97 33,97 324,294605 324,124755 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-26 9,4975 9,4925 34,03 34,03 323,199925 323,029775 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-27 9,5355 9,5305 33,66 33,66 320,96493 320,79663 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-28 9,5135 9,5085 33,28 33,28 316,60928 316,44288 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-10-31 9,5495 9,5445 34,01 34,01 324,778495 324,608445 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-01 9,5495 9,5445 34,2 34,2 326,5929 326,4219 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-02 9,5855 9,5805 34,3 34,3 328,78265 328,61115 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-03 9,6515 9,6465 34,8 34,8 335,8722 335,6982 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-04 9,5875 9,5825 34,92 34,92 334,7955 334,6209 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-07 9,6075 9,6025 34,99 34,99 336,166425 335,991475 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-08 9,5685 9,5635 34,94 34,94 334,32339 334,14869 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-09 9,5575 9,5525 34,98 34,98 334,32135 334,14645 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-10 9,6105 9,6055 35,02 35,02 336,55971 336,38461 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-11 9,6365 9,6315 35,06 35,06 337,85569 337,68039 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-14 9,5505 9,5455 35,17 35,17 335,891085 335,715235 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-15 9,5805 9,5755 35,07 35,07 335,988135 335,812785 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-16 9,6235 9,6185 34,83 34,83 335,186505 335,012355 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-17 9,6355 9,6305 35,05 35,05 337,724275 337,549025 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-18 9,6085 9,6035 35,12 35,12 337,45052 337,27492 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-21 9,5915 9,5865 35,17 35,17 337,333055 337,157205 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-22 9,5585 9,5535 35,35 35,35 337,892975 337,716225 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-23 9,5155 9,5105 35,49 35,49 337,705095 337,527645 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-24 9,5125 9,5075 35,49 35,49 337,598625 337,421175 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-25 9,4965 9,4915 35,66 35,66 338,64519 338,46689 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-28 9,4835 9,4785 35,63 35,63 337,897105 337,718955 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-29 9,4785 9,4735 35,58 35,58 337,24503 337,06713 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-11-30 9,5295 9,5245 35,63 35,63 339,536085 339,357935 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-01 9,5165 9,5115 35,93 35,93 341,927845 341,748195 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-02 9,4905 9,4855 36,33 36,33 344,789865 344,608215 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-05 9,4065 9,4015 36,47 36,47 343,055055 342,872705 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-06 9,4185 9,4135 36,48 36,48 343,58688 343,40448 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-07 9,4255 9,4205 36,68 36,68 345,72734 345,54394 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-08 9,3965 9,3915 36,53 36,53 343,254145 343,071495 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-12 9,4315 9,4265 36,65 36,65 345,664475 345,481225 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-13 9,4295 9,4245 36,6 36,6 345,1197 344,9367 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-14 9,4365 9,4315 36,46 36,46 344,05479 343,87249 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-15 9,4345 9,4295 36,5 36,5 344,35925 344,17675 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-16 9,4765 9,4715 36,62 36,62 347,02943 346,84633 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-19 9,4535 9,4485 36,65 36,65 346,470775 346,287525 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-20 9,4015 9,3965 36,72 36,72 345,22308 345,03948 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-21 9,4485 9,4435 36,93 36,93 348,933105 348,748455 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-22 9,4365 9,4315 37,06 37,06 349,71669 349,53139 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-23 9,4425 9,4375 37,19 37,19 351,166575 350,980625 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-28 9,4345 9,4295 37,17 37,17 350,680365 350,494515 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-29 9,4115 9,4065 37,38 37,38 351,80187 351,61497 376905 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Europe Small Cap Fund EUR 2005-12-30 9,4325 9,4275 37,45 37,45 353,247125 353,059875 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-03 6,668 6,658 12,25 12,25 81,683 81,5605 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-04 6,728 6,718 12,13 12,13 81,61064 81,48934 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-05 6,828 6,818 11,93 11,93 81,45804 81,33874 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-07 6,87 6,86 11,96 11,96 82,1652 82,0456 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-10 6,96091 6,95091 11,93 11,93 83,0436563 82,9243563 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-11 6,96091 6,95091 11,92 11,92 82,9740472 82,8548472 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-12 6,913 6,903 11,91 11,91 82,33383 82,21473 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-13 6,843 6,833 11,95 11,95 81,77385 81,65435 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-14 6,915 6,905 11,93 11,93 82,49595 82,37665 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-18 6,968 6,958 11,93 11,93 83,12824 83,00894 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-19 6,91 6,9 12,06 12,06 83,3346 83,214 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-20 6,96 6,95 11,88 11,88 82,6848 82,566 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-21 6,978 6,968 11,89 11,89 82,96842 82,84952 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-24 6,933 6,923 11,87 11,87 82,29471 82,17601 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-25 6,95 6,94 11,89 11,89 82,6355 82,5166 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-26 6,995 6,985 11,94 11,94 83,5203 83,4009 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-27 6,93 6,92 11,93 11,93 82,6749 82,5556 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-28 6,985 6,975 11,97 11,97 83,61045 83,49075 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-01-31 6,998 6,988 12,03 12,03 84,18594 84,06564 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-01 6,993 6,983 12,06 12,06 84,33558 84,21498 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-02 6,953 6,943 12,15 12,15 84,47895 84,35745 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-03 6,968 6,958 12,13 12,13 84,52184 84,40054 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-04 7,01 7 12,19 12,19 85,4519 85,33 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-07 7,065 7,055 12,22 12,22 86,3343 86,2121 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-08 7,123 7,113 12,17 12,17 86,68691 86,56521 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-09 7,1 7,09 12,19 12,19 86,549 86,4271 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-10 7,088 7,078 12,17 12,17 86,26096 86,13926 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-11 7,068 7,058 12,2 12,2 86,2296 86,1076 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-14 7,03 7,02 12,34 12,34 86,7502 86,6268 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-15 7,005 6,995 12,37 12,37 86,65185 86,52815 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-16 6,973 6,963 12,35 12,35 86,11655 85,99305 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-17 6,97 6,96 12,4 12,4 86,428 86,304 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-18 6,965 6,955 12,38 12,38 86,2267 86,1029 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-22 6,905 6,895 12,35 12,35 85,27675 85,15325 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-23 6,895 6,885 12,26 12,26 84,5327 84,4101 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-24 6,858 6,848 12,28 12,28 84,21624 84,09344 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-25 6,885 6,875 12,4 12,4 85,374 85,25 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-02-28 6,828 6,818 12,54 12,54 85,62312 85,49772 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-01 6,87 6,86 12,53 12,53 86,0811 85,9558 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-02 6,888 6,878 12,48 12,48 85,96224 85,83744 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-03 6,903 6,893 12,57 12,57 86,77071 86,64501 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-04 6,9 6,89 12,64 12,64 87,216 87,0896 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-07 6,84 6,83 12,69 12,69 86,7996 86,6727 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-08 6,825 6,815 12,7 12,7 86,6775 86,5505 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-09 6,76 6,75 12,66 12,66 85,5816 85,455 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-10 6,745 6,735 12,6 12,6 84,987 84,861 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-11 6,765 6,755 12,64 12,64 85,5096 85,3832 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-14 6,76 6,75 12,54 12,54 84,7704 84,645 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-15 6,815 6,805 12,61 12,61 85,93715 85,81105 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-16 6,81 6,8 12,52 12,52 85,2612 85,136 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-17 6,795 6,785 12,44 12,44 84,5298 84,4054 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-18 6,828 6,818 12,47 12,47 85,14516 85,02046 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-21 6,908 6,898 12,41 12,41 85,72828 85,60418 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-22 6,928 6,918 12,4 12,4 85,9072 85,7832 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-23 6,973 6,963 12,17 12,17 84,86141 84,73971 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-24 7,008 6,998 12,22 12,22 85,63776 85,51556 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-29 7,055 7,045 12,15 12,15 85,71825 85,59675 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-30 7,053 7,043 12,08 12,08 85,20024 85,07944 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-03-31 7,065 7,055 12,23 12,23 86,40495 86,28265 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-01 7,07 7,06 12,29 12,29 86,8903 86,7674 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-04 7,113 7,103 12,17 12,17 86,56521 86,44351 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-05 7,163 7,153 12,26 12,26 87,81838 87,69578 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-06 7,125 7,115 12,27 12,27 87,42375 87,30105 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-07 7,083 7,073 12,31 12,31 87,19173 87,06863 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-08 7,153 7,143 12,33 12,33 88,19649 88,07319 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-11 7,098 7,088 12,31 12,31 87,37638 87,25328 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-12 7,048 7,038 12,24 12,24 86,26752 86,14512 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-13 7,075 7,065 12,29 12,29 86,95175 86,82885 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-14 7,12 7,11 12,16 12,16 86,5792 86,4576 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-15 7,17 7,16 12 12 86,04 85,92 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-18 7,08 7,07 11,81 11,81 83,6148 83,4967 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-19 7,068 7,058 11,95 11,95 84,4626 84,3431 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-20 7,043 7,033 11,94 11,94 84,09342 83,97402 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-21 7,025 7,015 11,94 11,94 83,8785 83,7591 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-22 7,023 7,013 12,03 12,03 84,48669 84,36639 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-25 7,04 7,03 12,03 12,03 84,6912 84,5709 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-26 7,035 7,025 12,02 12,02 84,5607 84,4405 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-27 7,085 7,075 11,88 11,88 84,1698 84,051 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-28 7,085 7,075 11,86 11,86 84,0281 83,9095 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-04-29 7,08 7,07 11,89 11,89 84,1812 84,0623 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-02 7,15 7,14 11,94 11,94 85,371 85,2516 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-03 7,178 7,168 11,95 11,95 85,7771 85,6576 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-04 7,11 7,1 12 12 85,32 85,2 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-06 7,085 7,075 12,13 12,13 85,94105 85,81975 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-09 7,168 7,158 12,11 12,11 86,80448 86,68338 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-10 7,178 7,168 12,08 12,08 86,71024 86,58944 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-11 7,15 7,14 12,01 12,01 85,8715 85,7514 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-12 7,243 7,233 12,01 12,01 86,98843 86,86833 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-13 7,265 7,255 11,86 11,86 86,1629 86,0443 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-16 7,32 7,31 11,84 11,84 86,6688 86,5504 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-17 7,313 7,303 11,89 11,89 86,95157 86,83267 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-18 7,3 7,29 12,02 12,02 87,746 87,6258 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-19 7,26 7,25 12,11 12,11 87,9186 87,7975 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-20 7,28 7,27 12,1 12,1 88,088 87,967 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-23 7,32 7,31 12,15 12,15 88,938 88,8165 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-24 7,295 7,285 12,18 12,18 88,8531 88,7313 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-25 7,298 7,288 12,18 12,18 88,88964 88,76784 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-26 7,33 7,32 12,18 12,18 89,2794 89,1576 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-27 7,338 7,328 12,24 12,24 89,81712 89,69472 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-05-31 7,403 7,393 12,21 12,21 90,39063 90,26853 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-01 7,428 7,418 12,21 12,21 90,69588 90,57378 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-02 7,473 7,463 12,29 12,29 91,84317 91,72027 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-03 7,438 7,428 12,33 12,33 91,71054 91,58724 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-07 7,448 7,438 12,37 12,37 92,13176 92,00806 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-08 7,435 7,425 12,38 12,38 92,0453 91,9215 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-09 7,523 7,513 12,28 12,28 92,38244 92,25964 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-10 7,525 7,515 12,27 12,27 92,33175 92,20905 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-13 7,643 7,633 12,27 12,27 93,77961 93,65691 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-14 7,663 7,653 12,32 12,32 94,40816 94,28496 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-15 7,693 7,683 12,39 12,39 95,31627 95,19237 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-16 7,678 7,668 12,4 12,4 95,2072 95,0832 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-17 7,643 7,633 12,56 12,56 95,99608 95,87048 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-20 7,543 7,533 12,51 12,51 94,36293 94,23783 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-21 7,648 7,638 12,5 12,5 95,6 95,475 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-22 7,608 7,598 12,56 12,56 95,55648 95,43088 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-23 7,73 7,72 12,53 12,53 96,8569 96,7316 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-27 7,73 7,72 12,37 12,37 95,6201 95,4964 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-28 7,76 7,75 12,4 12,4 96,224 96,1 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-29 7,833 7,823 12,43 12,43 97,36419 97,23989 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-06-30 7,823 7,813 12,47 12,47 97,55281 97,42811 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-01 7,858 7,848 12,41 12,41 97,51778 97,39368 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-05 7,963 7,953 12,38 12,38 98,58194 98,45814 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-06 7,895 7,885 12,49 12,49 98,60855 98,48365 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-07 7,878 7,868 12,31 12,31 96,97818 96,85508 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-08 7,913 7,903 12,48 12,48 98,75424 98,62944 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-11 7,89 7,88 12,61 12,61 99,4929 99,3668 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-12 7,77 7,76 12,72 12,72 98,8344 98,7072 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-13 7,703 7,693 12,72 12,72 97,98216 97,85496 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-14 7,76 7,75 12,77 12,77 99,0952 98,9675 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-15 7,76 7,75 12,68 12,68 98,3968 98,27 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-18 7,78 7,77 12,68 12,68 98,6504 98,5236 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-19 7,878 7,868 12,67 12,67 99,81426 99,68756 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-20 7,818 7,808 12,73 12,73 99,52314 99,39584 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-21 7,775 7,765 12,82 12,82 99,6755 99,5473 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-22 7,758 7,748 12,79 12,79 99,22482 99,09692 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-25 7,838 7,828 12,8 12,8 100,3264 100,1984 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-26 7,818 7,808 12,73 12,73 99,52314 99,39584 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-27 7,905 7,895 12,8 12,8 101,184 101,056 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-28 7,848 7,838 12,9 12,9 101,2392 101,1102 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-07-29 7,748 7,738 12,98 12,98 100,56904 100,43924 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-01 7,72 7,71 12,99 12,99 100,2828 100,1529 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-02 7,7 7,69 13,01 13,01 100,177 100,0469 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-03 7,685 7,675 13,08 13,08 100,5198 100,389 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-04 7,618 7,608 13,03 13,03 99,26254 99,13224 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-05 7,548 7,538 12,94 12,94 97,67112 97,54172 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-08 7,558 7,548 12,98 12,98 98,10284 97,97304 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-09 7,548 7,538 12,96 12,96 97,82208 97,69248 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-10 7,558 7,548 13,11 13,11 99,08538 98,95428 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-11 7,523 7,513 13,14 13,14 98,85222 98,72082 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-12 7,46 7,45 13,16 13,16 98,1736 98,042 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-15 7,508 7,498 13,13 13,13 98,58004 98,44874 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-16 7,523 7,513 13,12 13,12 98,70176 98,57056 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-17 7,605 7,595 13 13 98,865 98,735 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-18 7,61 7,6 12,9 12,9 98,169 98,04 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-19 7,698 7,688 12,95 12,95 99,6891 99,5596 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-22 7,69 7,68 13,06 13,06 100,4314 100,3008 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-23 7,663 7,653 12,99 12,99 99,54237 99,41247 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-24 7,673 7,663 12,97 12,97 99,51881 99,38911 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-25 7,588 7,578 12,94 12,94 98,18872 98,05932 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-26 7,578 7,568 12,95 12,95 98,1351 98,0056 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-30 7,633 7,623 12,89 12,89 98,38937 98,26047 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-08-31 7,668 7,658 12,96 12,96 99,37728 99,24768 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-01 7,568 7,558 13,19 13,19 99,82192 99,69002 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-02 7,435 7,425 13,24 13,24 98,4394 98,307 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-06 7,485 7,475 13,29 13,29 99,47565 99,34275 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-07 7,43 7,42 13,34 13,34 99,1162 98,9828 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-08 7,498 7,488 13,33 13,33 99,94834 99,81504 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-09 7,523 7,513 13,37 13,37 100,58251 100,44881 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-12 7,555 7,545 13,42 13,42 101,3881 101,2539 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-13 7,57 7,56 13,35 13,35 101,0595 100,926 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-14 7,61 7,6 13,22 13,22 100,6042 100,472 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-15 7,658 7,648 13,21 13,21 101,16218 101,03008 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-16 7,613 7,603 13,23 13,23 100,71999 100,58769 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-19 7,698 7,688 13,25 13,25 101,9985 101,866 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-20 7,688 7,678 13,31 13,31 102,32728 102,19418 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-21 7,663 7,653 13,21 13,21 101,22823 101,09613 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-22 7,648 7,638 13,14 13,14 100,49472 100,36332 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-23 7,733 7,723 13,07 13,07 101,07031 100,93961 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-26 7,798 7,788 13,19 13,19 102,85562 102,72372 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-27 7,825 7,815 13,18 13,18 103,1335 103,0017 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-28 7,81 7,8 13,27 13,27 103,6387 103,506 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-29 7,785 7,775 13,27 13,27 103,30695 103,17425 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-09-30 7,785 7,775 13,35 13,35 103,92975 103,79625 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-03 7,783 7,773 13,39 13,39 104,21437 104,08047 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-04 7,82 7,81 13,37 13,37 104,5534 104,4197 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-05 7,795 7,785 13,21 13,21 102,97195 102,83985 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-06 7,713 7,703 13,01 13,01 100,34613 100,21603 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-07 7,683 7,673 13 13 99,879 99,749 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-10 7,698 7,688 12,98 12,98 99,92004 99,79024 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-11 7,77 7,76 13,02 13,02 101,1654 101,0352 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-12 7,805 7,795 12,98 12,98 101,3089 101,1791 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-13 7,83 7,82 12,72 12,72 99,5976 99,4704 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-14 7,833 7,823 12,74 12,74 99,79242 99,66502 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-17 7,835 7,825 12,82 12,82 100,4447 100,3165 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-18 7,893 7,883 12,75 12,75 100,63575 100,50825 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-19 7,96 7,95 12,56 12,56 99,9776 99,852 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-20 7,93 7,92 12,73 12,73 100,9489 100,8216 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-21 7,883 7,873 12,62 12,62 99,48346 99,35726 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-24 7,995 7,985 12,68 12,68 101,3766 101,2498 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-25 7,99 7,98 12,83 12,83 102,5117 102,3834 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-26 7,868 7,858 12,84 12,84 101,02512 100,89672 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-27 7,868 7,858 12,8 12,8 100,7104 100,5824 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-28 7,825 7,815 12,74 12,74 99,6905 99,5631 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-10-31 7,905 7,895 12,98 12,98 102,6069 102,4771 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-01 7,963 7,953 13,01 13,01 103,59863 103,46853 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-02 7,98 7,97 13,04 13,04 104,0592 103,9288 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-03 8,01 8 13,25 13,25 106,1325 106 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-04 8,028 8,018 13,24 13,24 106,29072 106,15832 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-07 8,135 8,125 13,16 13,16 107,0566 106,925 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-08 8,17 8,16 13,11 13,11 107,1087 106,9776 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-09 8,12 8,11 13,1 13,1 106,372 106,241 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-10 8,173 8,163 13,11 13,11 107,14803 107,01693 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-11 8,235 8,225 13,19 13,19 108,61965 108,48775 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-14 8,133 8,123 13,18 13,18 107,19294 107,06114 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-15 8,185 8,175 13,11 13,11 107,30535 107,17425 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-16 8,21 8,2 13,1 13,1 107,551 107,42 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-17 8,258 8,248 13,27 13,27 109,58366 109,45096 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-18 8,223 8,213 13,39 13,39 110,10597 109,97207 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-21 8,123 8,113 13,39 13,39 108,76697 108,63307 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-22 8,15 8,14 13,39 13,39 109,1285 108,9946 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-23 8,048 8,038 13,53 13,53 108,88944 108,75414 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-25 8,078 8,068 13,54 13,54 109,37612 109,24072 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-28 8,118 8,108 13,5 13,5 109,593 109,458 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-29 8,015 8,005 13,52 13,52 108,3628 108,2276 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-11-30 8,088 8,078 13,45 13,45 108,7836 108,6491 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-01 8,083 8,073 13,52 13,52 109,28216 109,14696 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-02 8,103 8,093 13,6 13,6 110,2008 110,0648 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-05 8,045 8,035 13,69 13,69 110,13605 109,99915 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-06 7,993 7,983 13,7 13,7 109,5041 109,3671 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-07 8,015 8,005 13,71 13,71 109,88565 109,74855 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-08 7,988 7,978 13,6 13,6 108,6368 108,5008 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-12 7,953 7,943 13,81 13,81 109,83093 109,69283 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-13 7,905 7,895 13,79 13,79 109,00995 108,87205 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-14 7,848 7,838 13,89 13,89 109,00872 108,86982 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-15 7,858 7,848 13,87 13,87 108,99046 108,85176 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-16 7,903 7,893 13,9 13,9 109,8517 109,7127 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-19 7,865 7,855 13,87 13,87 109,08755 108,94885 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-20 7,848 7,838 13,81 13,81 108,38088 108,24278 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-21 7,948 7,938 13,87 13,87 110,23876 110,10006 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-22 7,98 7,97 13,92 13,92 111,0816 110,9424 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-23 7,955 7,945 13,94 13,94 110,8927 110,7533 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-28 7,915 7,905 13,91 13,91 110,09765 109,95855 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-29 7,938 7,928 13,91 13,91 110,41758 110,27848 819615 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Dynamic Fund USD 2005-12-30 7,958 7,948 13,84 13,84 110,13872 110,00032 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-03 6,668 6,658 7,7 7,7 51,3436 51,2666 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-04 6,728 6,718 7,56 7,56 50,86368 50,78808 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-05 6,828 6,818 7,39 7,39 50,45892 50,38502 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-07 6,87 6,86 7,38 7,38 50,7006 50,6268 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-10 6,96091 6,95091 7,4 7,4 51,510734 51,436734 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-11 6,96091 6,95091 7,35 7,35 51,1626885 51,0891885 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-12 6,913 6,903 7,29 7,29 50,39577 50,32287 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-13 6,843 6,833 7,32 7,32 50,09076 50,01756 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-14 6,915 6,905 7,24 7,24 50,0646 49,9922 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-18 6,968 6,958 7,24 7,24 50,44832 50,37592 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-19 6,91 6,9 7,36 7,36 50,8576 50,784 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-20 6,96 6,95 7,27 7,27 50,5992 50,5265 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-21 6,978 6,968 7,2 7,2 50,2416 50,1696 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-24 6,933 6,923 7,14 7,14 49,50162 49,43022 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-25 6,95 6,94 7,15 7,15 49,6925 49,621 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-26 6,995 6,985 7,19 7,19 50,29405 50,22215 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-27 6,93 6,92 7,18 7,18 49,7574 49,6856 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-28 6,985 6,975 7,17 7,17 50,08245 50,01075 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-01-31 6,998 6,988 7,2 7,2 50,3856 50,3136 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-01 6,993 6,983 7,2 7,2 50,3496 50,2776 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-02 6,953 6,943 7,25 7,25 50,40925 50,33675 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-03 6,968 6,958 7,22 7,22 50,30896 50,23676 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-04 7,01 7 7,26 7,26 50,8926 50,82 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-07 7,065 7,055 7,31 7,31 51,64515 51,57205 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-08 7,123 7,113 7,25 7,25 51,64175 51,56925 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-09 7,1 7,09 7,16 7,16 50,836 50,7644 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-10 7,088 7,078 7,04 7,04 49,89952 49,82912 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-11 7,068 7,058 7,03 7,03 49,68804 49,61774 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-14 7,03 7,02 7,15 7,15 50,2645 50,193 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-15 7,005 6,995 7,16 7,16 50,1558 50,0842 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-16 6,973 6,963 7,1 7,1 49,5083 49,4373 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-17 6,97 6,96 7,19 7,19 50,1143 50,0424 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-18 6,965 6,955 7,08 7,08 49,3122 49,2414 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-22 6,905 6,895 7,06 7,06 48,7493 48,6787 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-23 6,895 6,885 7,04 7,04 48,5408 48,4704 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-24 6,858 6,848 6,96 6,96 47,73168 47,66208 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-25 6,885 6,875 7,1 7,1 48,8835 48,8125 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-02-28 6,828 6,818 7,01 7,01 47,86428 47,79418 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-01 6,87 6,86 6,97 6,97 47,8839 47,8142 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-02 6,888 6,878 6,97 6,97 48,00936 47,93966 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-03 6,903 6,893 6,96 6,96 48,04488 47,97528 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-04 6,9 6,89 6,9 6,9 47,61 47,541 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-07 6,84 6,83 6,85 6,85 46,854 46,7855 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-08 6,825 6,815 6,79 6,79 46,34175 46,27385 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-09 6,76 6,75 6,68 6,68 45,1568 45,09 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-10 6,745 6,735 6,72 6,72 45,3264 45,2592 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-11 6,765 6,755 6,74 6,74 45,5961 45,5287 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-14 6,76 6,75 6,7 6,7 45,292 45,225 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-15 6,815 6,805 6,9 6,9 47,0235 46,9545 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-16 6,81 6,8 6,73 6,73 45,8313 45,764 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-17 6,795 6,785 6,66 6,66 45,2547 45,1881 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-18 6,828 6,818 6,64 6,64 45,33792 45,27152 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-21 6,908 6,898 6,67 6,67 46,07636 46,00966 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-22 6,928 6,918 6,67 6,67 46,20976 46,14306 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-23 6,973 6,963 6,63 6,63 46,23099 46,16469 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-24 7,008 6,998 6,67 6,67 46,74336 46,67666 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-29 7,055 7,045 6,53 6,53 46,06915 46,00385 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-30 7,053 7,043 6,45 6,45 45,49185 45,42735 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-03-31 7,065 7,055 6,52 6,52 46,0638 45,9986 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-01 7,07 7,06 6,47 6,47 45,7429 45,6782 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-04 7,113 7,103 6,36 6,36 45,23868 45,17508 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-05 7,163 7,153 6,38 6,38 45,69994 45,63614 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-06 7,125 7,115 6,42 6,42 45,7425 45,6783 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-07 7,083 7,073 6,48 6,48 45,89784 45,83304 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-08 7,153 7,143 6,6 6,6 47,2098 47,1438 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-11 7,098 7,088 6,58 6,58 46,70484 46,63904 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-12 7,048 7,038 6,46 6,46 45,53008 45,46548 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-13 7,075 7,065 6,59 6,59 46,62425 46,55835 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-14 7,12 7,11 6,57 6,57 46,7784 46,7127 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-15 7,17 7,16 6,6 6,6 47,322 47,256 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-18 7,08 7,07 6,5 6,5 46,02 45,955 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-19 7,068 7,058 6,5 6,5 45,942 45,877 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-20 7,043 7,033 6,45 6,45 45,42735 45,36285 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-21 7,025 7,015 6,51 6,51 45,73275 45,66765 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-22 7,023 7,013 6,51 6,51 45,71973 45,65463 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-25 7,04 7,03 6,5 6,5 45,76 45,695 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-26 7,035 7,025 6,54 6,54 46,0089 45,9435 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-27 7,085 7,075 6,44 6,44 45,6274 45,563 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-28 7,085 7,075 6,44 6,44 45,6274 45,563 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-04-29 7,08 7,07 6,41 6,41 45,3828 45,3187 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-02 7,15 7,14 6,44 6,44 46,046 45,9816 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-03 7,178 7,168 6,47 6,47 46,44166 46,37696 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-04 7,11 7,1 6,49 6,49 46,1439 46,079 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-06 7,085 7,075 6,65 6,65 47,11525 47,04875 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-09 7,168 7,158 6,68 6,68 47,88224 47,81544 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-10 7,178 7,168 6,76 6,76 48,52328 48,45568 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-11 7,15 7,14 6,78 6,78 48,477 48,4092 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-12 7,243 7,233 6,81 6,81 49,32483 49,25673 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-13 7,265 7,255 6,76 6,76 49,1114 49,0438 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-16 7,32 7,31 6,69 6,69 48,9708 48,9039 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-17 7,313 7,303 6,73 6,73 49,21649 49,14919 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-18 7,3 7,29 6,75 6,75 49,275 49,2075 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-19 7,26 7,25 6,8 6,8 49,368 49,3 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-20 7,28 7,27 6,78 6,78 49,3584 49,2906 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-23 7,32 7,31 6,83 6,83 49,9956 49,9273 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-24 7,295 7,285 6,91 6,91 50,40845 50,33935 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-25 7,298 7,288 6,81 6,81 49,69938 49,63128 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-26 7,33 7,32 6,79 6,79 49,7707 49,7028 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-27 7,338 7,328 6,81 6,81 49,97178 49,90368 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-05-31 7,403 7,393 6,83 6,83 50,56249 50,49419 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-01 7,428 7,418 6,82 6,82 50,65896 50,59076 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-02 7,473 7,463 6,84 6,84 51,11532 51,04692 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-03 7,438 7,428 6,81 6,81 50,65278 50,58468 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-07 7,448 7,438 6,74 6,74 50,19952 50,13212 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-08 7,435 7,425 6,7 6,7 49,8145 49,7475 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-09 7,523 7,513 6,63 6,63 49,87749 49,81119 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-10 7,525 7,515 6,7 6,7 50,4175 50,3505 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-13 7,643 7,633 6,7 6,7 51,2081 51,1411 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-14 7,663 7,653 6,71 6,71 51,41873 51,35163 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-15 7,693 7,683 6,72 6,72 51,69696 51,62976 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-16 7,678 7,668 6,78 6,78 52,05684 51,98904 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-17 7,643 7,633 6,91 6,91 52,81313 52,74403 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-20 7,543 7,533 6,94 6,94 52,34842 52,27902 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-21 7,648 7,638 6,94 6,94 53,07712 53,00772 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-22 7,608 7,598 6,97 6,97 53,02776 52,95806 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-23 7,73 7,72 6,94 6,94 53,6462 53,5768 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-27 7,73 7,72 6,94 6,94 53,6462 53,5768 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-28 7,76 7,75 6,97 6,97 54,0872 54,0175 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-29 7,833 7,823 6,98 6,98 54,67434 54,60454 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-06-30 7,823 7,813 6,99 6,99 54,68277 54,61287 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-01 7,858 7,848 6,92 6,92 54,37736 54,30816 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-05 7,963 7,953 6,89 6,89 54,86507 54,79617 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-06 7,895 7,885 7 7 55,265 55,195 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-07 7,878 7,868 6,9 6,9 54,3582 54,2892 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-08 7,913 7,903 7,06 7,06 55,86578 55,79518 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-11 7,89 7,88 7,2 7,2 56,808 56,736 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-12 7,77 7,76 7,21 7,21 56,0217 55,9496 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-13 7,703 7,693 7,24 7,24 55,76972 55,69732 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-14 7,76 7,75 7,25 7,25 56,26 56,1875 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-15 7,76 7,75 7,27 7,27 56,4152 56,3425 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-18 7,78 7,77 7,32 7,32 56,9496 56,8764 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-19 7,878 7,868 7,31 7,31 57,58818 57,51508 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-20 7,818 7,808 7,4 7,4 57,8532 57,7792 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-21 7,775 7,765 7,46 7,46 58,0015 57,9269 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-22 7,758 7,748 7,52 7,52 58,34016 58,26496 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-25 7,838 7,828 7,39 7,39 57,92282 57,84892 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-26 7,818 7,808 7,37 7,37 57,61866 57,54496 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-27 7,905 7,895 7,42 7,42 58,6551 58,5809 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-28 7,848 7,838 7,48 7,48 58,70304 58,62824 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-07-29 7,748 7,738 7,51 7,51 58,18748 58,11238 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-01 7,72 7,71 7,54 7,54 58,2088 58,1334 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-02 7,7 7,69 7,57 7,57 58,289 58,2133 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-03 7,685 7,675 7,58 7,58 58,2523 58,1765 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-04 7,618 7,608 7,58 7,58 57,74444 57,66864 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-05 7,548 7,538 7,53 7,53 56,83644 56,76114 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-08 7,558 7,548 7,5 7,5 56,685 56,61 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-09 7,548 7,538 7,43 7,43 56,08164 56,00734 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-10 7,558 7,548 7,47 7,47 56,45826 56,38356 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-11 7,523 7,513 7,46 7,46 56,12158 56,04698 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-12 7,46 7,45 7,48 7,48 55,8008 55,726 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-15 7,508 7,498 7,49 7,49 56,23492 56,16002 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-16 7,523 7,513 7,53 7,53 56,64819 56,57289 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-17 7,605 7,595 7,49 7,49 56,96145 56,88655 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-18 7,61 7,6 7,46 7,46 56,7706 56,696 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-19 7,698 7,688 7,51 7,51 57,81198 57,73688 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-22 7,69 7,68 7,49 7,49 57,5981 57,5232 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-23 7,663 7,653 7,46 7,46 57,16598 57,09138 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-24 7,673 7,663 7,5 7,5 57,5475 57,4725 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-25 7,588 7,578 7,51 7,51 56,98588 56,91078 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-26 7,578 7,568 7,46 7,46 56,53188 56,45728 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-29 7,573 7,563 7,42 7,42 56,19166 56,11746 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-30 7,633 7,623 7,47 7,47 57,01851 56,94381 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-08-31 7,668 7,658 7,52 7,52 57,66336 57,58816 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-01 7,568 7,558 7,62 7,62 57,66816 57,59196 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-02 7,435 7,425 7,64 7,64 56,8034 56,727 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-06 7,485 7,475 7,66 7,66 57,3351 57,2585 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-07 7,43 7,42 7,73 7,73 57,4339 57,3566 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-08 7,498 7,488 7,74 7,74 58,03452 57,95712 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-09 7,523 7,513 7,74 7,74 58,22802 58,15062 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-12 7,555 7,545 7,74 7,74 58,4757 58,3983 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-13 7,57 7,56 7,72 7,72 58,4404 58,3632 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-14 7,61 7,6 7,69 7,69 58,5209 58,444 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-15 7,658 7,648 7,66 7,66 58,66028 58,58368 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-16 7,613 7,603 7,69 7,69 58,54397 58,46707 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-19 7,698 7,688 7,7 7,7 59,2746 59,1976 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-20 7,688 7,678 7,72 7,72 59,35136 59,27416 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-21 7,663 7,653 7,63 7,63 58,46869 58,39239 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-22 7,648 7,638 7,57 7,57 57,89536 57,81966 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-23 7,733 7,723 7,57 7,57 58,53881 58,46311 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-26 7,798 7,788 7,63 7,63 59,49874 59,42244 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-27 7,825 7,815 7,61 7,61 59,54825 59,47215 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-28 7,81 7,8 7,65 7,65 59,7465 59,67 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-29 7,785 7,775 7,51 7,51 58,46535 58,39025 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-09-30 7,785 7,775 7,6 7,6 59,166 59,09 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-03 7,783 7,773 7,68 7,68 59,77344 59,69664 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-04 7,82 7,81 7,71 7,71 60,2922 60,2151 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-05 7,795 7,785 7,7 7,7 60,0215 59,9445 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-06 7,713 7,703 7,58 7,58 58,46454 58,38874 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-07 7,683 7,673 7,47 7,47 57,39201 57,31731 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-10 7,698 7,688 7,41 7,41 57,04218 56,96808 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-11 7,77 7,76 7,42 7,42 57,6534 57,5792 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-12 7,805 7,795 7,24 7,24 56,5082 56,4358 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-13 7,83 7,82 7,13 7,13 55,8279 55,7566 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-14 7,833 7,823 7,25 7,25 56,78925 56,71675 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-17 7,835 7,825 7,39 7,39 57,90065 57,82675 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-18 7,893 7,883 7,33 7,33 57,85569 57,78239 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-19 7,96 7,95 7,23 7,23 57,5508 57,4785 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-20 7,93 7,92 7,31 7,31 57,9683 57,8952 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-21 7,883 7,873 7,26 7,26 57,23058 57,15798 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-24 7,995 7,985 7,3 7,3 58,3635 58,2905 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-25 7,99 7,98 7,43 7,43 59,3657 59,2914 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-26 7,868 7,858 7,48 7,48 58,85264 58,77784 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-27 7,868 7,858 7,39 7,39 58,14452 58,07062 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-28 7,825 7,815 7,26 7,26 56,8095 56,7369 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-10-31 7,905 7,895 7,39 7,39 58,41795 58,34405 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-01 7,963 7,953 7,24 7,24 57,65212 57,57972 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-02 7,98 7,97 7,27 7,27 58,0146 57,9419 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-03 8,01 8 7,36 7,36 58,9536 58,88 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-04 8,028 8,018 7,39 7,39 59,32692 59,25302 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-07 8,135 8,125 7,39 7,39 60,11765 60,04375 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-08 8,17 8,16 7,41 7,41 60,5397 60,4656 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-09 8,12 8,11 7,41 7,41 60,1692 60,0951 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-10 8,173 8,163 7,45 7,45 60,88885 60,81435 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-11 8,235 8,225 7,5 7,5 61,7625 61,6875 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-14 8,133 8,123 7,51 7,51 61,07883 61,00373 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-15 8,185 8,175 7,45 7,45 60,97825 60,90375 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-16 8,21 8,2 7,41 7,41 60,8361 60,762 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-17 8,258 8,248 7,47 7,47 61,68726 61,61256 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-18 8,223 8,213 7,6 7,6 62,4948 62,4188 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-21 8,123 8,113 7,59 7,59 61,65357 61,57767 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-22 8,15 8,14 7,66 7,66 62,429 62,3524 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-23 8,048 8,038 7,6 7,6 61,1648 61,0888 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-25 8,078 8,068 7,57 7,57 61,15046 61,07476 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-28 8,118 8,108 7,51 7,51 60,96618 60,89108 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-29 8,015 8,005 7,43 7,43 59,55145 59,47715 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-11-30 8,088 8,078 7,38 7,38 59,68944 59,61564 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-01 8,083 8,073 7,29 7,29 58,92507 58,85217 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-02 8,103 8,093 7,22 7,22 58,50366 58,43146 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-05 8,045 8,035 7,28 7,28 58,5676 58,4948 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-06 7,993 7,983 7,3 7,3 58,3489 58,2759 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-07 8,015 8,005 7,27 7,27 58,26905 58,19635 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-08 7,988 7,978 7,25 7,25 57,913 57,8405 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-12 7,953 7,943 7,42 7,42 59,01126 58,93706 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-13 7,905 7,895 7,39 7,39 58,41795 58,34405 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-14 7,848 7,838 7,35 7,35 57,6828 57,6093 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-15 7,858 7,848 7,38 7,38 57,99204 57,91824 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-16 7,903 7,893 7,37 7,37 58,24511 58,17141 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-19 7,865 7,855 7,38 7,38 58,0437 57,9699 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-20 7,848 7,838 7,29 7,29 57,21192 57,13902 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-21 7,948 7,938 7,33 7,33 58,25884 58,18554 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-22 7,98 7,97 7,39 7,39 58,9722 58,8983 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-23 7,955 7,945 7,49 7,49 59,58295 59,50805 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-27 8,01 8 7,5 7,5 60,075 60 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-28 7,915 7,905 7,42 7,42 58,7293 58,6551 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-29 7,938 7,928 7,39 7,39 58,66182 58,58792 891275 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Life Sciences Fund USD 2005-12-30 7,958 7,948 7,32 7,32 58,25256 58,17936 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-03 6,668 6,658 6,25 6,25 41,675 41,6125 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-04 6,728 6,718 6,2 6,2 41,7136 41,6516 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-05 6,828 6,818 6,14 6,14 41,92392 41,86252 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-07 6,87 6,86 6,14 6,14 42,1818 42,1204 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-10 6,96091 6,95091 6,11 6,11 42,5311601 42,4700601 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-11 6,96091 6,95091 6,1 6,1 42,461551 42,400551 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-12 6,913 6,903 6,11 6,11 42,23843 42,17733 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-13 6,843 6,833 6,1 6,1 41,7423 41,6813 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-14 6,915 6,905 6,09 6,09 42,11235 42,05145 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-18 6,968 6,958 6,06 6,06 42,22608 42,16548 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-19 6,91 6,9 6,12 6,12 42,2892 42,228 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-20 6,96 6,95 6,04 6,04 42,0384 41,978 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-21 6,978 6,968 6,05 6,05 42,2169 42,1564 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-24 6,933 6,923 6,05 6,05 41,94465 41,88415 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-25 6,95 6,94 6,07 6,07 42,1865 42,1258 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-26 6,995 6,985 6,09 6,09 42,59955 42,53865 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-27 6,93 6,92 6,08 6,08 42,1344 42,0736 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-28 6,985 6,975 6,07 6,07 42,39895 42,33825 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-01-31 6,998 6,988 6,09 6,09 42,61782 42,55692 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-01 6,993 6,983 6,1 6,1 42,6573 42,5963 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-02 6,953 6,943 6,14 6,14 42,69142 42,63002 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-03 6,968 6,958 6,11 6,11 42,57448 42,51338 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-04 7,01 7 6,15 6,15 43,1115 43,05 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-07 7,065 7,055 6,16 6,16 43,5204 43,4588 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-08 7,123 7,113 6,13 6,13 43,66399 43,60269 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-09 7,1 7,09 6,15 6,15 43,665 43,6035 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-10 7,088 7,078 6,16 6,16 43,66208 43,60048 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-11 7,068 7,058 6,17 6,17 43,60956 43,54786 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-14 7,03 7,02 6,25 6,25 43,9375 43,875 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-15 7,005 6,995 6,27 6,27 43,92135 43,85865 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-16 6,973 6,963 6,25 6,25 43,58125 43,51875 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-17 6,97 6,96 6,27 6,27 43,7019 43,6392 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-18 6,965 6,955 6,26 6,26 43,6009 43,5383 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-22 6,905 6,895 6,26 6,26 43,2253 43,1627 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-23 6,895 6,885 6,22 6,22 42,8869 42,8247 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-24 6,858 6,848 6,23 6,23 42,72534 42,66304 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-25 6,885 6,875 6,27 6,27 43,16895 43,10625 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-02-28 6,828 6,818 6,33 6,33 43,22124 43,15794 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-01 6,87 6,86 6,34 6,34 43,5558 43,4924 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-02 6,888 6,878 6,31 6,31 43,46328 43,40018 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-03 6,903 6,893 6,35 6,35 43,83405 43,77055 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-04 6,9 6,89 6,39 6,39 44,091 44,0271 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-07 6,84 6,83 6,4 6,4 43,776 43,712 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-08 6,825 6,815 6,41 6,41 43,74825 43,68415 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-09 6,76 6,75 6,39 6,39 43,1964 43,1325 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-10 6,745 6,735 6,38 6,38 43,0331 42,9693 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-11 6,765 6,755 6,39 6,39 43,22835 43,16445 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-14 6,76 6,75 6,34 6,34 42,8584 42,795 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-15 6,815 6,805 6,38 6,38 43,4797 43,4159 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-16 6,81 6,8 6,34 6,34 43,1754 43,112 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-17 6,795 6,785 6,29 6,29 42,74055 42,67765 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-18 6,828 6,818 6,3 6,3 43,0164 42,9534 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-21 6,908 6,898 6,26 6,26 43,24408 43,18148 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-22 6,928 6,918 6,25 6,25 43,3 43,2375 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-23 6,973 6,963 6,15 6,15 42,88395 42,82245 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-24 7,008 6,998 6,18 6,18 43,30944 43,24764 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-29 7,055 7,045 6,16 6,16 43,4588 43,3972 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-30 7,053 7,043 6,14 6,14 43,30542 43,24402 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-03-31 7,065 7,055 6,2 6,2 43,803 43,741 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-01 7,07 7,06 6,22 6,22 43,9754 43,9132 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-04 7,113 7,103 6,13 6,13 43,60269 43,54139 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-05 7,163 7,153 6,2 6,2 44,4106 44,3486 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-06 7,125 7,115 6,22 6,22 44,3175 44,2553 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-07 7,083 7,073 6,24 6,24 44,19792 44,13552 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-08 7,153 7,143 6,26 6,26 44,77778 44,71518 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-11 7,098 7,088 6,27 6,27 44,50446 44,44176 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-12 7,048 7,038 6,22 6,22 43,83856 43,77636 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-13 7,075 7,065 6,26 6,26 44,2895 44,2269 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-14 7,12 7,11 6,2 6,2 44,144 44,082 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-15 7,17 7,16 6,17 6,17 44,2389 44,1772 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-18 7,08 7,07 6,09 6,09 43,1172 43,0563 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-19 7,068 7,058 6,14 6,14 43,39752 43,33612 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-20 7,043 7,033 6,12 6,12 43,10316 43,04196 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-21 7,025 7,015 6,12 6,12 42,993 42,9318 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-22 7,023 7,013 6,16 6,16 43,26168 43,20008 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-25 7,04 7,03 6,16 6,16 43,3664 43,3048 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-26 7,035 7,025 6,14 6,14 43,1949 43,1335 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-27 7,085 7,075 6,08 6,08 43,0768 43,016 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-28 7,085 7,075 6,09 6,09 43,14765 43,08675 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-04-29 7,08 7,07 6,12 6,12 43,3296 43,2684 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-02 7,15 7,14 6,14 6,14 43,901 43,8396 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-03 7,178 7,168 6,14 6,14 44,07292 44,01152 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-04 7,11 7,1 6,16 6,16 43,7976 43,736 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-06 7,085 7,075 6,21 6,21 43,99785 43,93575 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-09 7,168 7,158 6,19 6,19 44,36992 44,30802 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-10 7,178 7,168 6,18 6,18 44,36004 44,29824 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-11 7,15 7,14 6,14 6,14 43,901 43,8396 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-12 7,243 7,233 6,14 6,14 44,47202 44,41062 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-13 7,265 7,255 6,08 6,08 44,1712 44,1104 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-16 7,32 7,31 6,06 6,06 44,3592 44,2986 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-17 7,313 7,303 6,09 6,09 44,53617 44,47527 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-18 7,3 7,29 6,14 6,14 44,822 44,7606 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-19 7,26 7,25 6,19 6,19 44,9394 44,8775 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-20 7,28 7,27 6,17 6,17 44,9176 44,8559 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-23 7,32 7,31 6,21 6,21 45,4572 45,3951 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-24 7,295 7,285 6,21 6,21 45,30195 45,23985 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-25 7,298 7,288 6,21 6,21 45,32058 45,25848 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-26 7,33 7,32 6,2 6,2 45,446 45,384 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-27 7,338 7,328 6,21 6,21 45,56898 45,50688 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-05-31 7,403 7,393 6,19 6,19 45,82457 45,76267 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-01 7,428 7,418 6,18 6,18 45,90504 45,84324 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-02 7,473 7,463 6,21 6,21 46,40733 46,34523 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-03 7,438 7,428 6,23 6,23 46,33874 46,27644 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-07 7,448 7,438 6,25 6,25 46,55 46,4875 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-08 7,435 7,425 6,26 6,26 46,5431 46,4805 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-09 7,523 7,513 6,2 6,2 46,6426 46,5806 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-10 7,525 7,515 6,18 6,18 46,5045 46,4427 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-13 7,643 7,633 6,18 6,18 47,23374 47,17194 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-14 7,663 7,653 6,21 6,21 47,58723 47,52513 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-15 7,693 7,683 6,23 6,23 47,92739 47,86509 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-16 7,678 7,668 6,23 6,23 47,83394 47,77164 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-17 7,643 7,633 6,3 6,3 48,1509 48,0879 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-20 7,543 7,533 6,26 6,26 47,21918 47,15658 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-21 7,648 7,638 6,28 6,28 48,02944 47,96664 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-22 7,608 7,598 6,31 6,31 48,00648 47,94338 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-23 7,73 7,72 6,29 6,29 48,6217 48,5588 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-27 7,73 7,72 6,22 6,22 48,0806 48,0184 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-28 7,76 7,75 6,22 6,22 48,2672 48,205 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-29 7,833 7,823 6,23 6,23 48,79959 48,73729 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-06-30 7,823 7,813 6,23 6,23 48,73729 48,67499 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-01 7,858 7,848 6,2 6,2 48,7196 48,6576 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-05 7,963 7,953 6,14 6,14 48,89282 48,83142 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-06 7,895 7,885 6,19 6,19 48,87005 48,80815 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-07 7,878 7,868 6,1 6,1 48,0558 47,9948 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-08 7,913 7,903 6,16 6,16 48,74408 48,68248 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-11 7,89 7,88 6,25 6,25 49,3125 49,25 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-12 7,77 7,76 6,3 6,3 48,951 48,888 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-13 7,703 7,693 6,29 6,29 48,45187 48,38897 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-14 7,76 7,75 6,33 6,33 49,1208 49,0575 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-15 7,76 7,75 6,3 6,3 48,888 48,825 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-18 7,78 7,77 6,28 6,28 48,8584 48,7956 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-19 7,878 7,868 6,27 6,27 49,39506 49,33236 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-20 7,818 7,808 6,29 6,29 49,17522 49,11232 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-21 7,775 7,765 6,35 6,35 49,37125 49,30775 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-22 7,758 7,748 6,33 6,33 49,10814 49,04484 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-25 7,838 7,828 6,33 6,33 49,61454 49,55124 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-26 7,818 7,808 6,29 6,29 49,17522 49,11232 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-27 7,905 7,895 6,32 6,32 49,9596 49,8964 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-28 7,848 7,838 6,35 6,35 49,8348 49,7713 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-07-29 7,748 7,738 6,37 6,37 49,35476 49,29106 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-01 7,72 7,71 6,38 6,38 49,2536 49,1898 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-02 7,7 7,69 6,4 6,4 49,28 49,216 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-03 7,685 7,675 6,43 6,43 49,41455 49,35025 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-04 7,618 7,608 6,4 6,4 48,7552 48,6912 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-05 7,548 7,538 6,38 6,38 48,15624 48,09244 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-08 7,558 7,548 6,39 6,39 48,29562 48,23172 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-09 7,548 7,538 6,39 6,39 48,23172 48,16782 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-10 7,558 7,548 6,47 6,47 48,90026 48,83556 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-11 7,523 7,513 6,49 6,49 48,82427 48,75937 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-12 7,46 7,45 6,48 6,48 48,3408 48,276 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-15 7,508 7,498 6,47 6,47 48,57676 48,51206 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-16 7,523 7,513 6,47 6,47 48,67381 48,60911 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-17 7,605 7,595 6,41 6,41 48,74805 48,68395 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-18 7,61 7,6 6,37 6,37 48,4757 48,412 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-19 7,698 7,688 6,39 6,39 49,19022 49,12632 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-22 7,69 7,68 6,45 6,45 49,6005 49,536 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-23 7,663 7,653 6,4 6,4 49,0432 48,9792 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-24 7,673 7,663 6,39 6,39 49,03047 48,96657 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-25 7,588 7,578 6,36 6,36 48,25968 48,19608 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-26 7,578 7,568 6,36 6,36 48,19608 48,13248 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-29 7,573 7,563 6,33 6,33 47,93709 47,87379 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-30 7,633 7,623 6,34 6,34 48,39322 48,32982 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-08-31 7,668 7,658 6,36 6,36 48,76848 48,70488 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-01 7,568 7,558 6,46 6,46 48,88928 48,82468 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-02 7,435 7,425 6,49 6,49 48,25315 48,18825 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-06 7,485 7,475 6,53 6,53 48,87705 48,81175 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-07 7,43 7,42 6,55 6,55 48,6665 48,601 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-08 7,498 7,488 6,54 6,54 49,03692 48,97152 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-09 7,523 7,513 6,56 6,56 49,35088 49,28528 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-12 7,555 7,545 6,57 6,57 49,63635 49,57065 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-13 7,57 7,56 6,54 6,54 49,5078 49,4424 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-14 7,61 7,6 6,48 6,48 49,3128 49,248 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-15 7,658 7,648 6,45 6,45 49,3941 49,3296 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-16 7,613 7,603 6,46 6,46 49,17998 49,11538 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-19 7,698 7,688 6,46 6,46 49,72908 49,66448 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-20 7,688 7,678 6,48 6,48 49,81824 49,75344 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-21 7,663 7,653 6,43 6,43 49,27309 49,20879 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-22 7,648 7,638 6,38 6,38 48,79424 48,73044 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-23 7,733 7,723 6,36 6,36 49,18188 49,11828 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-26 7,798 7,788 6,41 6,41 49,98518 49,92108 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-27 7,825 7,815 6,4 6,4 50,08 50,016 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-28 7,81 7,8 6,43 6,43 50,2183 50,154 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-29 7,785 7,775 6,43 6,43 50,05755 49,99325 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-09-30 7,785 7,775 6,47 6,47 50,36895 50,30425 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-03 7,783 7,773 6,49 6,49 50,51167 50,44677 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-04 7,82 7,81 6,47 6,47 50,5954 50,5307 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-05 7,795 7,785 6,42 6,42 50,0439 49,9797 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-06 7,713 7,703 6,36 6,36 49,05468 48,99108 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-07 7,683 7,673 6,35 6,35 48,78705 48,72355 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-10 7,698 7,688 6,32 6,32 48,65136 48,58816 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-11 7,77 7,76 6,34 6,34 49,2618 49,1984 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-12 7,805 7,795 6,32 6,32 49,3276 49,2644 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-13 7,83 7,82 6,22 6,22 48,7026 48,6404 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-14 7,833 7,823 6,24 6,24 48,87792 48,81552 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-17 7,835 7,825 6,25 6,25 48,96875 48,90625 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-18 7,893 7,883 6,2 6,2 48,9366 48,8746 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-19 7,96 7,95 6,13 6,13 48,7948 48,7335 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-20 7,93 7,92 6,19 6,19 49,0867 49,0248 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-21 7,883 7,873 6,15 6,15 48,48045 48,41895 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-24 7,995 7,985 6,16 6,16 49,2492 49,1876 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-25 7,99 7,98 6,23 6,23 49,7777 49,7154 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-26 7,868 7,858 6,23 6,23 49,01764 48,95534 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-27 7,868 7,858 6,22 6,22 48,93896 48,87676 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-28 7,825 7,815 6,19 6,19 48,43675 48,37485 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-10-31 7,905 7,895 6,28 6,28 49,6434 49,5806 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-01 7,963 7,953 6,3 6,3 50,1669 50,1039 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-02 7,98 7,97 6,31 6,31 50,3538 50,2907 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-03 8,01 8 6,41 6,41 51,3441 51,28 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-04 8,028 8,018 6,42 6,42 51,53976 51,47556 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-07 8,135 8,125 6,4 6,4 52,064 52 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-08 8,17 8,16 6,39 6,39 52,2063 52,1424 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-09 8,12 8,11 6,38 6,38 51,8056 51,7418 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-10 8,173 8,163 6,4 6,4 52,3072 52,2432 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-11 8,235 8,225 6,45 6,45 53,11575 53,05125 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-14 8,133 8,123 6,45 6,45 52,45785 52,39335 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-15 8,185 8,175 6,41 6,41 52,46585 52,40175 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-16 8,21 8,2 6,39 6,39 52,4619 52,398 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-17 8,258 8,248 6,45 6,45 53,2641 53,1996 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-18 8,223 8,213 6,52 6,52 53,61396 53,54876 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-21 8,123 8,113 6,53 6,53 53,04319 52,97789 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-22 8,15 8,14 6,5 6,5 52,975 52,91 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-23 8,048 8,038 6,56 6,56 52,79488 52,72928 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-25 8,078 8,068 6,57 6,57 53,07246 53,00676 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-28 8,118 8,108 6,56 6,56 53,25408 53,18848 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-29 8,015 8,005 6,58 6,58 52,7387 52,6729 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-11-30 8,088 8,078 6,55 6,55 52,9764 52,9109 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-01 8,083 8,073 6,57 6,57 53,10531 53,03961 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-02 8,103 8,093 6,61 6,61 53,56083 53,49473 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-05 8,045 8,035 6,65 6,65 53,49925 53,43275 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-06 7,993 7,983 6,63 6,63 52,99359 52,92729 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-07 8,015 8,005 6,62 6,62 53,0593 52,9931 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-08 7,988 7,978 6,59 6,59 52,64092 52,57502 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-12 7,953 7,943 6,7 6,7 53,2851 53,2181 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-13 7,905 7,895 6,7 6,7 52,9635 52,8965 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-14 7,848 7,838 6,75 6,75 52,974 52,9065 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-15 7,858 7,848 6,72 6,72 52,80576 52,73856 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-16 7,903 7,893 6,74 6,74 53,26622 53,19882 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-19 7,865 7,855 6,74 6,74 53,0101 52,9427 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-20 7,848 7,838 6,7 6,7 52,5816 52,5146 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-21 7,948 7,938 6,72 6,72 53,41056 53,34336 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-22 7,98 7,97 6,74 6,74 53,7852 53,7178 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-23 7,955 7,945 6,74 6,74 53,6167 53,5493 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-27 8,01 8 6,76 6,76 54,1476 54,08 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-28 7,915 7,905 6,75 6,75 53,42625 53,35875 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-29 7,938 7,928 6,74 6,74 53,50212 53,43472 927103 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Global Socially Responsible Fund USD 2005-12-30 7,958 7,948 6,69 6,69 53,23902 53,17212 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-04 6,728 6,718 25,11 25,11 168,94008 168,68898 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-05 6,828 6,818 24,81 24,81 169,40268 169,15458 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-07 6,87 6,86 24,94 24,94 171,3378 171,0884 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-11 6,96091 6,95091 25,26 25,26 175,8325866 175,5799866 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-12 6,913 6,903 25,47 25,47 176,07411 175,81941 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-13 6,843 6,833 25,23 25,23 172,64889 172,39659 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-14 6,915 6,905 25,43 25,43 175,84845 175,59415 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-17 6,915 6,905 25,7 25,7 177,7155 177,4585 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-18 6,968 6,958 25,44 25,44 177,26592 177,01152 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-19 6,91 6,9 25,54 25,54 176,4814 176,226 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-20 6,96 6,95 25,1 25,1 174,696 174,445 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-21 6,978 6,968 24,91 24,91 173,82198 173,57288 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-24 6,933 6,923 25,25 25,25 175,05825 174,80575 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-25 6,95 6,94 24,92 24,92 173,194 172,9448 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-26 6,995 6,985 25,32 25,32 177,1134 176,8602 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-27 6,93 6,92 25,19 25,19 174,5667 174,3148 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-28 6,985 6,975 25,16 25,16 175,7426 175,491 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-01-31 6,998 6,988 25,15 25,15 175,9997 175,7482 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-01 6,993 6,983 25,08 25,08 175,38444 175,13364 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-02 6,953 6,943 25,27 25,27 175,70231 175,44961 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-03 6,968 6,958 24,96 24,96 173,92128 173,67168 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-04 7,01 7 25,12 25,12 176,0912 175,84 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-07 7,065 7,055 25,02 25,02 176,7663 176,5161 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-08 7,123 7,113 24,74 24,74 176,22302 175,97562 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-09 7,1 7,09 24,82 24,82 176,222 175,9738 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-10 7,088 7,078 25,01 25,01 177,27088 177,02078 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-14 7,03 7,02 25,41 25,41 178,6323 178,3782 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-15 7,005 6,995 25,47 25,47 178,41735 178,16265 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-16 6,973 6,963 25,38 25,38 176,97474 176,72094 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-17 6,97 6,96 25,16 25,16 175,3652 175,1136 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-18 6,965 6,955 25,35 25,35 176,56275 176,30925 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-21 6,978 6,968 25,4 25,4 177,2412 176,9872 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-22 6,905 6,895 25,64 25,64 177,0442 176,7878 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-23 6,895 6,885 25,21 25,21 173,82295 173,57085 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-24 6,858 6,848 25,2 25,2 172,8216 172,5696 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-25 6,885 6,875 25,47 25,47 175,36095 175,10625 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-02-28 6,828 6,818 26,03 26,03 177,73284 177,47254 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-01 6,87 6,86 26,1 26,1 179,307 179,046 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-02 6,888 6,878 25,99 25,99 179,01912 178,75922 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-03 6,903 6,893 26,03 26,03 179,68509 179,42479 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-04 6,9 6,89 26,25 26,25 181,125 180,8625 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-07 6,84 6,83 26,18 26,18 179,0712 178,8094 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-08 6,825 6,815 26,2 26,2 178,815 178,553 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-09 6,76 6,75 26,43 26,43 178,6668 178,4025 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-10 6,745 6,735 26,31 26,31 177,46095 177,19785 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-11 6,765 6,755 26,44 26,44 178,8666 178,6022 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-14 6,76 6,75 26,07 26,07 176,2332 175,9725 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-15 6,815 6,805 26,07 26,07 177,66705 177,40635 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-16 6,81 6,8 26,22 26,22 178,5582 178,296 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-17 6,795 6,785 25,97 25,97 176,46615 176,20645 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-18 6,828 6,818 26,07 26,07 178,00596 177,74526 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-22 6,928 6,918 26,02 26,02 180,26656 180,00636 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-23 6,973 6,963 25,65 25,65 178,85745 178,60095 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-24 7,008 6,998 25,33 25,33 177,51264 177,25934 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-29 7,055 7,045 24,98 24,98 176,2339 175,9841 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-30 7,053 7,043 24,93 24,93 175,83129 175,58199 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-03-31 7,065 7,055 25,32 25,32 178,8858 178,6326 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-01 7,07 7,06 25,46 25,46 180,0022 179,7476 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-04 7,113 7,103 25,16 25,16 178,96308 178,71148 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-05 7,163 7,153 25,26 25,26 180,93738 180,68478 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-06 7,125 7,115 25,39 25,39 180,90375 180,64985 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-07 7,083 7,073 25,48 25,48 180,47484 180,22004 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-08 7,153 7,143 25,48 25,48 182,25844 182,00364 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-11 7,098 7,088 25,47 25,47 180,78606 180,53136 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-12 7,048 7,038 25,12 25,12 177,04576 176,79456 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-13 7,075 7,065 25,25 25,25 178,64375 178,39125 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-14 7,12 7,11 24,9 24,9 177,288 177,039 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-15 7,17 7,16 24,63 24,63 176,5971 176,3508 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-18 7,08 7,07 23,85 23,85 168,858 168,6195 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-19 7,068 7,058 24,31 24,31 171,82308 171,57998 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-20 7,043 7,033 24,48 24,48 172,41264 172,16784 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-21 7,025 7,015 24,27 24,27 170,49675 170,25405 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-22 7,023 7,013 24,72 24,72 173,60856 173,36136 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-25 7,04 7,03 24,74 24,74 174,1696 173,9222 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-26 7,035 7,025 24,66 24,66 173,4831 173,2365 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-27 7,085 7,075 24,63 24,63 174,50355 174,25725 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-04-28 7,085 7,075 24,63 24,63 174,50355 174,25725 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-02 7,15 7,14 24,83 24,83 177,5345 177,2862 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-06 7,085 7,075 25,24 25,24 178,8254 178,573 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-09 7,168 7,158 25,07 25,07 179,70176 179,45106 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-10 7,178 7,168 25,02 25,02 179,59356 179,34336 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-11 7,15 7,14 24,78 24,78 177,177 176,9292 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-12 7,243 7,233 24,37 24,37 176,51191 176,26821 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-13 7,265 7,255 24,06 24,06 174,7959 174,5553 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-16 7,32 7,31 23,79 23,79 174,1428 173,9049 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-17 7,313 7,303 23,58 23,58 172,44054 172,20474 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-18 7,3 7,29 23,56 23,56 171,988 171,7524 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-19 7,26 7,25 24,07 24,07 174,7482 174,5075 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-20 7,28 7,27 23,89 23,89 173,9192 173,6803 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-23 7,32 7,31 24,1 24,1 176,412 176,171 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-24 7,295 7,285 24,13 24,13 176,02835 175,78705 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-25 7,298 7,288 23,9 23,9 174,4222 174,1832 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-26 7,33 7,32 23,71 23,71 173,7943 173,5572 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-27 7,338 7,328 23,97 23,97 175,89186 175,65216 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-30 7,338 7,328 24,14 24,14 177,13932 176,89792 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-05-31 7,403 7,393 24,19 24,19 179,07857 178,83667 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-01 7,428 7,418 24,17 24,17 179,53476 179,29306 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-02 7,473 7,463 24,3 24,3 181,5939 181,3509 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-03 7,438 7,428 24,46 24,46 181,93348 181,68888 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-07 7,448 7,438 24,58 24,58 183,07184 182,82604 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-08 7,435 7,425 24,72 24,72 183,7932 183,546 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-09 7,523 7,513 24,37 24,37 183,33551 183,09181 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-10 7,525 7,515 24,14 24,14 181,6535 181,4121 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-13 7,643 7,633 24,14 24,14 184,50202 184,26062 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-14 7,663 7,653 24,19 24,19 185,36797 185,12607 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-15 7,693 7,683 24,34 24,34 187,24762 187,00422 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-16 7,678 7,668 24,52 24,52 188,26456 188,01936 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-17 7,643 7,633 24,83 24,83 189,77569 189,52739 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-20 7,543 7,533 24,73 24,73 186,53839 186,29109 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-21 7,648 7,638 24,77 24,77 189,44096 189,19326 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-22 7,608 7,598 24,81 24,81 188,75448 188,50638 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-23 7,73 7,72 24,85 24,85 192,0905 191,842 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-27 7,73 7,72 24,46 24,46 189,0758 188,8312 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-28 7,76 7,75 24,43 24,43 189,5768 189,3325 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-29 7,833 7,823 24,45 24,45 191,51685 191,27235 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-06-30 7,823 7,813 24,44 24,44 191,19412 190,94972 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-01 7,858 7,848 24,42 24,42 191,89236 191,64816 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-04 7,945 7,935 24,53 24,53 194,89085 194,64555 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-05 7,963 7,953 24,37 24,37 194,05831 193,81461 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-06 7,895 7,885 24,4 24,4 192,638 192,394 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-07 7,878 7,868 24,37 24,37 191,98686 191,74316 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-08 7,913 7,903 24,34 24,34 192,60242 192,35902 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-11 7,89 7,88 24,49 24,49 193,2261 192,9812 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-12 7,77 7,76 24,7 24,7 191,919 191,672 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-13 7,703 7,693 24,49 24,49 188,64647 188,40157 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-14 7,76 7,75 24,54 24,54 190,4304 190,185 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-15 7,76 7,75 24,6 24,6 190,896 190,65 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-19 7,878 7,868 24,42 24,42 192,38076 192,13656 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-20 7,818 7,808 24,55 24,55 191,9319 191,6864 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-21 7,775 7,765 24,97 24,97 194,14175 193,89205 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-22 7,758 7,748 24,77 24,77 192,16566 191,91796 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-25 7,838 7,828 24,72 24,72 193,75536 193,50816 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-26 7,818 7,808 24,53 24,53 191,77554 191,53024 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-27 7,905 7,895 24,73 24,73 195,49065 195,24335 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-28 7,848 7,838 24,82 24,82 194,78736 194,53916 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-07-29 7,748 7,738 24,95 24,95 193,3126 193,0631 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-01 7,72 7,71 25,01 25,01 193,0772 192,8271 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-02 7,7 7,69 25,03 25,03 192,731 192,4807 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-03 7,685 7,675 25,11 25,11 192,97035 192,71925 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-04 7,618 7,608 24,88 24,88 189,53584 189,28704 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-05 7,548 7,538 24,48 24,48 184,77504 184,53024 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-08 7,558 7,548 24,66 24,66 186,38028 186,13368 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-09 7,548 7,538 24,76 24,76 186,88848 186,64088 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-10 7,558 7,548 25,52 25,52 192,88016 192,62496 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-11 7,523 7,513 26,02 26,02 195,74846 195,48826 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-12 7,46 7,45 26,17 26,17 195,2282 194,9665 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-15 7,508 7,498 26,33 26,33 197,68564 197,42234 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-16 7,523 7,513 26,44 26,44 198,90812 198,64372 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-17 7,605 7,595 26,35 26,35 200,39175 200,12825 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-18 7,61 7,6 26,29 26,29 200,0669 199,804 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-19 7,698 7,688 26,24 26,24 201,99552 201,73312 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-22 7,69 7,68 26,86 26,86 206,5534 206,2848 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-23 7,663 7,653 26,72 26,72 204,75536 204,48816 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-24 7,673 7,663 26,81 26,81 205,71313 205,44503 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-25 7,588 7,578 26,68 26,68 202,44784 202,18104 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-26 7,578 7,568 26,84 26,84 203,39352 203,12512 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-29 7,573 7,563 26,38 26,38 199,77574 199,51194 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-30 7,633 7,623 26,52 26,52 202,42716 202,16196 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-08-31 7,668 7,658 26,52 26,52 203,35536 203,09016 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-01 7,568 7,558 26,82 26,82 202,97376 202,70556 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-02 7,435 7,425 27,06 27,06 201,1911 200,9205 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-05 7,41 7,4 27,41 27,41 203,1081 202,834 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-06 7,485 7,475 27,18 27,18 203,4423 203,1705 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-07 7,43 7,42 26,93 26,93 200,0899 199,8206 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-08 7,498 7,488 26,79 26,79 200,87142 200,60352 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-09 7,523 7,513 27,16 27,16 204,32468 204,05308 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-12 7,555 7,545 27,5 27,5 207,7625 207,4875 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-13 7,57 7,56 27,42 27,42 207,5694 207,2952 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-14 7,61 7,6 27,52 27,52 209,4272 209,152 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-15 7,658 7,648 27,76 27,76 212,58608 212,30848 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-16 7,613 7,603 27,6 27,6 210,1188 209,8428 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-20 7,688 7,678 27,94 27,94 214,80272 214,52332 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-21 7,663 7,653 28,12 28,12 215,48356 215,20236 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-22 7,648 7,638 27,94 27,94 213,68512 213,40572 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-26 7,798 7,788 28,25 28,25 220,2935 220,011 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-27 7,825 7,815 28,01 28,01 219,17825 218,89815 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-28 7,81 7,8 28,7 28,7 224,147 223,86 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-29 7,785 7,775 29,16 29,16 227,0106 226,719 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-09-30 7,785 7,775 28,88 28,88 224,8308 224,542 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-03 7,783 7,773 28,71 28,71 223,44993 223,16283 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-04 7,82 7,81 28,79 28,79 225,1378 224,8499 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-05 7,795 7,785 28,56 28,56 222,6252 222,3396 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-06 7,713 7,703 28,03 28,03 216,19539 215,91509 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-07 7,683 7,673 28,05 28,05 215,50815 215,22765 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-11 7,77 7,76 28,59 28,59 222,1443 221,8584 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-12 7,805 7,795 28,52 28,52 222,5986 222,3134 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-13 7,83 7,82 28,47 28,47 222,9201 222,6354 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-14 7,833 7,823 28,28 28,28 221,51724 221,23444 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-17 7,835 7,825 28,09 28,09 220,08515 219,80425 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-18 7,893 7,883 27,85 27,85 219,82005 219,54155 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-19 7,96 7,95 27,56 27,56 219,3776 219,102 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-20 7,93 7,92 27,72 27,72 219,8196 219,5424 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-21 7,883 7,873 27,7 27,7 218,3591 218,0821 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-24 7,995 7,985 27,57 27,57 220,42215 220,14645 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-25 7,99 7,98 28,02 28,02 223,8798 223,5996 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-26 7,868 7,858 28,09 28,09 221,01212 220,73122 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-27 7,868 7,858 28,53 28,53 224,47404 224,18874 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-28 7,825 7,815 28,41 28,41 222,30825 222,02415 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-10-31 7,905 7,895 28,44 28,44 224,8182 224,5338 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-01 7,963 7,953 28,84 28,84 229,65292 229,36452 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-02 7,98 7,97 28,89 28,89 230,5422 230,2533 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-04 8,028 8,018 29,19 29,19 234,33732 234,04542 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-07 8,135 8,125 29,26 29,26 238,0301 237,7375 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-08 8,17 8,16 29,44 29,44 240,5248 240,2304 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-09 8,12 8,11 29,11 29,11 236,3732 236,0821 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-10 8,173 8,163 28,92 28,92 236,36316 236,07396 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-11 8,235 8,225 29,12 29,12 239,8032 239,512 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-14 8,133 8,123 28,7 28,7 233,4171 233,1301 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-15 8,185 8,175 28,43 28,43 232,69955 232,41525 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-16 8,21 8,2 28,64 28,64 235,1344 234,848 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-17 8,258 8,248 29,24 29,24 241,46392 241,17152 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-18 8,223 8,213 29,49 29,49 242,49627 242,20137 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-21 8,123 8,113 29,39 29,39 238,73497 238,44107 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-22 8,15 8,14 29,17 29,17 237,7355 237,4438 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-24 8,053 8,043 29,14 29,14 234,66442 234,37302 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-25 8,078 8,068 29,23 29,23 236,11994 235,82764 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-28 8,118 8,108 29,37 29,37 238,42566 238,13196 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-29 8,015 8,005 29,61 29,61 237,32415 237,02805 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-11-30 8,088 8,078 29,52 29,52 238,75776 238,46256 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-01 8,083 8,073 29,62 29,62 239,41846 239,12226 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-02 8,103 8,093 29,86 29,86 241,95558 241,65698 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-05 8,045 8,035 30,3 30,3 243,7635 243,4605 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-06 7,993 7,983 30,24 30,24 241,70832 241,40592 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-07 8,015 8,005 30,5 30,5 244,4575 244,1525 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-08 7,988 7,978 30 30 239,64 239,34 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-12 7,953 7,943 31,22 31,22 248,29266 247,98046 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-13 7,905 7,895 31,37 31,37 247,97985 247,66615 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-14 7,848 7,838 31,6 31,6 247,9968 247,6808 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-15 7,858 7,848 31,69 31,69 249,02002 248,70312 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-16 7,903 7,893 31,58 31,58 249,57674 249,26094 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-19 7,865 7,855 31,84 31,84 250,4216 250,1032 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-20 7,848 7,838 32,31 32,31 253,56888 253,24578 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-21 7,948 7,938 32,51 32,51 258,38948 258,06438 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-22 7,98 7,97 32,56 32,56 259,8288 259,5032 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-27 8,01 8 32,56 32,56 260,8056 260,48 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-28 7,915 7,905 32,86 32,86 260,0869 259,7583 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-29 7,938 7,928 32,86 32,86 260,84268 260,51408 520221 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Japan Equity Fund USD 2005-12-30 7,958 7,948 32,57 32,57 259,19206 258,86636 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-03 6,668 6,658 19,67 19,67 131,15956 130,96286 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-04 6,728 6,718 19,25 19,25 129,514 129,3215 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-05 6,828 6,818 18,67 18,67 127,47876 127,29206 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-07 6,87 6,86 18,63 18,63 127,9881 127,8018 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-10 6,96091 6,95091 18,54 18,54 129,0552714 128,8698714 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-11 6,96091 6,95091 18,35 18,35 127,7326985 127,5491985 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-12 6,913 6,903 18,16 18,16 125,54008 125,35848 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-13 6,843 6,833 18,45 18,45 126,25335 126,06885 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-14 6,915 6,905 18,6 18,6 128,619 128,433 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-18 6,968 6,958 18,54 18,54 129,18672 129,00132 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-19 6,91 6,9 18,9 18,9 130,599 130,41 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-20 6,96 6,95 18,43 18,43 128,2728 128,0885 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-21 6,978 6,968 18,47 18,47 128,88366 128,69896 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-24 6,933 6,923 18,65 18,65 129,30045 129,11395 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-25 6,95 6,94 18,83 18,83 130,8685 130,6802 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-26 6,995 6,985 18,88 18,88 132,0656 131,8768 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-27 6,93 6,92 18,85 18,85 130,6305 130,442 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-28 6,985 6,975 18,84 18,84 131,5974 131,409 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-01-31 6,998 6,988 19,16 19,16 134,08168 133,89008 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-01 6,993 6,983 19,39 19,39 135,59427 135,40037 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-02 6,953 6,943 19,55 19,55 135,93115 135,73565 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-03 6,968 6,958 19,67 19,67 137,06056 136,86386 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-04 7,01 7 20,08 20,08 140,7608 140,56 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-07 7,065 7,055 20,29 20,29 143,34885 143,14595 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-08 7,123 7,113 20,35 20,35 144,95305 144,74955 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-09 7,1 7,09 20,37 20,37 144,627 144,4233 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-10 7,088 7,078 20,38 20,38 144,45344 144,24964 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-11 7,068 7,058 20,4 20,4 144,1872 143,9832 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-14 7,03 7,02 20,81 20,81 146,2943 146,0862 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-15 7,005 6,995 20,8 20,8 145,704 145,496 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-16 6,973 6,963 20,7 20,7 144,3411 144,1341 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-17 6,97 6,96 20,91 20,91 145,7427 145,5336 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-18 6,965 6,955 20,96 20,96 145,9864 145,7768 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-22 6,905 6,895 21,09 21,09 145,62645 145,41555 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-23 6,895 6,885 21,16 21,16 145,8982 145,6866 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-24 6,858 6,848 21,49 21,49 147,37842 147,16352 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-25 6,885 6,875 21,63 21,63 148,92255 148,70625 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-02-28 6,828 6,818 21,89 21,89 149,46492 149,24602 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-01 6,87 6,86 21,52 21,52 147,8424 147,6272 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-02 6,888 6,878 21,31 21,31 146,78328 146,57018 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-03 6,903 6,893 21,7 21,7 149,7951 149,5781 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-04 6,9 6,89 21,81 21,81 150,489 150,2709 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-07 6,84 6,83 22,11 22,11 151,2324 151,0113 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-08 6,825 6,815 21,82 21,82 148,9215 148,7033 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-09 6,76 6,75 21,46 21,46 145,0696 144,855 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-10 6,745 6,735 21,11 21,11 142,38695 142,17585 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-11 6,765 6,755 21,22 21,22 143,5533 143,3411 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-14 6,76 6,75 20,55 20,55 138,918 138,7125 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-15 6,815 6,805 20,38 20,38 138,8897 138,6859 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-16 6,81 6,8 20 20 136,2 136 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-17 6,795 6,785 20,12 20,12 136,7154 136,5142 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-18 6,828 6,818 20,48 20,48 139,83744 139,63264 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-21 6,908 6,898 20,34 20,34 140,50872 140,30532 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-22 6,928 6,918 20,36 20,36 141,05408 140,85048 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-23 6,973 6,963 19,69 19,69 137,29837 137,10147 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-24 7,008 6,998 19,73 19,73 138,26784 138,07054 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-29 7,055 7,045 19,56 19,56 137,9958 137,8002 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-30 7,053 7,043 19,29 19,29 136,05237 135,85947 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-03-31 7,065 7,055 19,73 19,73 139,39245 139,19515 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-01 7,07 7,06 19,99 19,99 141,3293 141,1294 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-04 7,113 7,103 19,88 19,88 141,40644 141,20764 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-05 7,163 7,153 20,09 20,09 143,90467 143,70377 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-06 7,125 7,115 19,81 19,81 141,14625 140,94815 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-07 7,083 7,073 19,66 19,66 139,25178 139,05518 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-08 7,153 7,143 19,97 19,97 142,84541 142,64571 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-11 7,098 7,088 20,02 20,02 142,10196 141,90176 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-12 7,048 7,038 19,94 19,94 140,53712 140,33772 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-13 7,075 7,065 20,19 20,19 142,84425 142,64235 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-14 7,12 7,11 19,88 19,88 141,5456 141,3468 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-15 7,17 7,16 19,29 19,29 138,3093 138,1164 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-18 7,08 7,07 18,8 18,8 133,104 132,916 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-19 7,068 7,058 19,3 19,3 136,4124 136,2194 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-20 7,043 7,033 19,42 19,42 136,77506 136,58086 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-21 7,025 7,015 19,34 19,34 135,8635 135,6701 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-22 7,023 7,013 19,5 19,5 136,9485 136,7535 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-25 7,04 7,03 19,45 19,45 136,928 136,7335 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-26 7,035 7,025 19,77 19,77 139,08195 138,88425 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-27 7,085 7,075 19,7 19,7 139,5745 139,3775 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-28 7,085 7,075 19,48 19,48 138,0158 137,821 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-04-29 7,08 7,07 19,36 19,36 137,0688 136,8752 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-02 7,15 7,14 19,53 19,53 139,6395 139,4442 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-03 7,178 7,168 19,58 19,58 140,54524 140,34944 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-04 7,11 7,1 19,81 19,81 140,8491 140,651 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-06 7,085 7,075 20,45 20,45 144,88825 144,68375 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-09 7,168 7,158 20,37 20,37 146,01216 145,80846 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-10 7,178 7,168 20,27 20,27 145,49806 145,29536 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-11 7,15 7,14 19,82 19,82 141,713 141,5148 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-12 7,243 7,233 19,88 19,88 143,99084 143,79204 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-13 7,265 7,255 19,47 19,47 141,44955 141,25485 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-16 7,32 7,31 19,52 19,52 142,8864 142,6912 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-17 7,313 7,303 19,76 19,76 144,50488 144,30728 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-18 7,3 7,29 20,06 20,06 146,438 146,2374 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-19 7,26 7,25 20,35 20,35 147,741 147,5375 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-20 7,28 7,27 20,24 20,24 147,3472 147,1448 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-23 7,32 7,31 20,26 20,26 148,3032 148,1006 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-24 7,295 7,285 20,28 20,28 147,9426 147,7398 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-25 7,298 7,288 20,48 20,48 149,46304 149,25824 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-26 7,33 7,32 20,62 20,62 151,1446 150,9384 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-27 7,338 7,328 20,84 20,84 152,92392 152,71552 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-05-31 7,403 7,393 20,95 20,95 155,09285 154,88335 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-01 7,428 7,418 20,88 20,88 155,09664 154,88784 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-02 7,473 7,463 21,3 21,3 159,1749 158,9619 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-03 7,438 7,428 21,68 21,68 161,25584 161,03904 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-07 7,448 7,438 20,94 20,94 155,96112 155,75172 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-08 7,435 7,425 20,99 20,99 156,06065 155,85075 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-09 7,523 7,513 20,58 20,58 154,82334 154,61754 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-10 7,525 7,515 20,81 20,81 156,59525 156,38715 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-13 7,643 7,633 20,98 20,98 160,35014 160,14034 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-14 7,663 7,653 21,12 21,12 161,84256 161,63136 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-15 7,693 7,683 21,24 21,24 163,39932 163,18692 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-16 7,678 7,668 21,69 21,69 166,53582 166,31892 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-17 7,643 7,633 22,15 22,15 169,29245 169,07095 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-20 7,543 7,533 21,99 21,99 165,87057 165,65067 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-21 7,648 7,638 22,1 22,1 169,0208 168,7998 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-22 7,608 7,598 21,96 21,96 167,07168 166,85208 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-23 7,73 7,72 21,77 21,77 168,2821 168,0644 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-27 7,73 7,72 21,47 21,47 165,9631 165,7484 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-28 7,76 7,75 21,88 21,88 169,7888 169,57 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-29 7,833 7,823 22,02 22,02 172,48266 172,26246 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-06-30 7,823 7,813 22 22 172,106 171,886 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-01 7,858 7,848 22,07 22,07 173,42606 173,20536 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-05 7,963 7,953 21,97 21,97 174,94711 174,72741 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-06 7,895 7,885 21,78 21,78 171,9531 171,7353 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-07 7,878 7,868 21,67 21,67 170,71626 170,49956 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-08 7,913 7,903 22,17 22,17 175,43121 175,20951 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-11 7,89 7,88 22,33 22,33 176,1837 175,9604 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-12 7,77 7,76 22,54 22,54 175,1358 174,9104 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-13 7,703 7,693 22,75 22,75 175,24325 175,01575 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-14 7,76 7,75 22,87 22,87 177,4712 177,2425 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-15 7,76 7,75 22,63 22,63 175,6088 175,3825 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-18 7,78 7,77 22,54 22,54 175,3612 175,1358 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-19 7,878 7,868 22,48 22,48 177,09744 176,87264 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-20 7,818 7,808 22,6 22,6 176,6868 176,4608 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-21 7,775 7,765 23,02 23,02 178,9805 178,7503 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-22 7,758 7,748 22,83 22,83 177,11514 176,88684 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-25 7,838 7,828 22,39 22,39 175,49282 175,26892 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-26 7,818 7,808 21,94 21,94 171,52692 171,30752 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-27 7,905 7,895 22,25 22,25 175,88625 175,66375 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-28 7,848 7,838 22,81 22,81 179,01288 178,78478 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-07-29 7,748 7,738 23,3 23,3 180,5284 180,2954 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-01 7,72 7,71 23,47 23,47 181,1884 180,9537 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-02 7,7 7,69 23,9 23,9 184,03 183,791 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-03 7,685 7,675 24,34 24,34 187,0529 186,8095 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-04 7,618 7,608 24,05 24,05 183,2129 182,9724 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-05 7,548 7,538 24,22 24,22 182,81256 182,57036 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-08 7,558 7,548 24,2 24,2 182,9036 182,6616 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-09 7,548 7,538 24,24 24,24 182,96352 182,72112 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-10 7,558 7,548 24,8 24,8 187,4384 187,1904 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-11 7,523 7,513 24,81 24,81 186,64563 186,39753 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-12 7,46 7,45 23,98 23,98 178,8908 178,651 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-15 7,508 7,498 24,32 24,32 182,59456 182,35136 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-16 7,523 7,513 24,61 24,61 185,14103 184,89493 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-17 7,605 7,595 24,3 24,3 184,8015 184,5585 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-18 7,61 7,6 24,31 24,31 184,9991 184,756 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-19 7,698 7,688 24,15 24,15 185,9067 185,6652 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-22 7,69 7,68 23,96 23,96 184,2524 184,0128 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-23 7,663 7,653 23,97 23,97 183,68211 183,44241 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-24 7,673 7,663 23,72 23,72 182,00356 181,76636 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-25 7,588 7,578 23,7 23,7 179,8356 179,5986 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-26 7,578 7,568 24,07 24,07 182,40246 182,16176 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-29 7,573 7,563 23,88 23,88 180,84324 180,60444 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-30 7,633 7,623 24,22 24,22 184,87126 184,62906 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-08-31 7,668 7,658 24,26 24,26 186,02568 185,78308 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-01 7,568 7,558 24,72 24,72 187,08096 186,83376 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-02 7,435 7,425 24,96 24,96 185,5776 185,328 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-06 7,485 7,475 25,44 25,44 190,4184 190,164 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-07 7,43 7,42 25,64 25,64 190,5052 190,2488 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-08 7,498 7,488 25,7 25,7 192,6986 192,4416 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-09 7,523 7,513 25,73 25,73 193,56679 193,30949 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-12 7,555 7,545 26,04 26,04 196,7322 196,4718 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-13 7,57 7,56 25,74 25,74 194,8518 194,5944 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-14 7,61 7,6 25,25 25,25 192,1525 191,9 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-15 7,658 7,648 25,65 25,65 196,4277 196,1712 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-16 7,613 7,603 26,01 26,01 198,01413 197,75403 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-19 7,698 7,688 26,25 26,25 202,0725 201,81 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-20 7,688 7,678 26,42 26,42 203,11696 202,85276 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-21 7,663 7,653 26,52 26,52 203,22276 202,95756 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-22 7,648 7,638 26,84 26,84 205,27232 205,00392 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-23 7,733 7,723 26,91 26,91 208,09503 207,82593 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-26 7,798 7,788 26,98 26,98 210,39004 210,12024 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-27 7,825 7,815 27,18 27,18 212,6835 212,4117 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-28 7,81 7,8 27,47 27,47 214,5407 214,266 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-29 7,785 7,775 27,47 27,47 213,85395 213,57925 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-09-30 7,785 7,775 27,69 27,69 215,56665 215,28975 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-03 7,783 7,773 28,08 28,08 218,54664 218,26584 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-04 7,82 7,81 28,34 28,34 221,6188 221,3354 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-05 7,795 7,785 27,31 27,31 212,88145 212,60835 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-06 7,713 7,703 26,53 26,53 204,62589 204,36059 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-07 7,683 7,673 26,32 26,32 202,21656 201,95336 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-10 7,698 7,688 26,82 26,82 206,46036 206,19216 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-11 7,77 7,76 27,09 27,09 210,4893 210,2184 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-12 7,805 7,795 26,83 26,83 209,40815 209,13985 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-13 7,83 7,82 25,73 25,73 201,4659 201,2086 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-14 7,833 7,823 25,73 25,73 201,54309 201,28579 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-17 7,835 7,825 26,12 26,12 204,6502 204,389 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-18 7,893 7,883 26,22 26,22 206,95446 206,69226 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-19 7,96 7,95 25,31 25,31 201,4676 201,2145 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-20 7,93 7,92 26,02 26,02 206,3386 206,0784 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-21 7,883 7,873 25,38 25,38 200,07054 199,81674 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-24 7,995 7,985 25,87 25,87 206,83065 206,57195 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-25 7,99 7,98 26,34 26,34 210,4566 210,1932 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-26 7,868 7,858 26,12 26,12 205,51216 205,25096 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-27 7,868 7,858 25,98 25,98 204,41064 204,15084 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-28 7,825 7,815 25,98 25,98 203,2935 203,0337 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-10-31 7,905 7,895 26,68 26,68 210,9054 210,6386 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-01 7,963 7,953 27,08 27,08 215,63804 215,36724 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-02 7,98 7,97 27,25 27,25 217,455 217,1825 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-03 8,01 8 27,87 27,87 223,2387 222,96 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-04 8,028 8,018 27,62 27,62 221,73336 221,45716 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-07 8,135 8,125 27,63 27,63 224,77005 224,49375 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-08 8,17 8,16 27,51 27,51 224,7567 224,4816 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-09 8,12 8,11 27,75 27,75 225,33 225,0525 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-10 8,173 8,163 27,8 27,8 227,2094 226,9314 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-11 8,235 8,225 27,9 27,9 229,7565 229,4775 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-14 8,133 8,123 27,59 27,59 224,38947 224,11357 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-15 8,185 8,175 27,74 27,74 227,0519 226,7745 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-16 8,21 8,2 27,78 27,78 228,0738 227,796 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-17 8,258 8,248 28,39 28,39 234,44462 234,16072 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-18 8,223 8,213 28,39 28,39 233,45097 233,16707 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-21 8,123 8,113 28,38 28,38 230,53074 230,24694 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-22 8,15 8,14 27,97 27,97 227,9555 227,6758 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-23 8,048 8,038 28,87 28,87 232,34576 232,05706 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-25 8,078 8,068 28,98 28,98 234,10044 233,81064 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-28 8,118 8,108 29,33 29,33 238,10094 237,80764 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-29 8,015 8,005 29,07 29,07 232,99605 232,70535 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-11-30 8,088 8,078 28,81 28,81 233,01528 232,72718 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-01 8,083 8,073 29,3 29,3 236,8319 236,5389 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-02 8,103 8,093 29,81 29,81 241,55043 241,25233 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-05 8,045 8,035 29,7 29,7 238,9365 238,6395 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-06 7,993 7,983 30,03 30,03 240,02979 239,72949 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-07 8,015 8,005 30,2 30,2 242,053 241,751 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-08 7,988 7,978 29,48 29,48 235,48624 235,19144 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-12 7,953 7,943 29,35 29,35 233,42055 233,12705 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-13 7,905 7,895 29,25 29,25 231,22125 230,92875 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-14 7,848 7,838 29,48 29,48 231,35904 231,06424 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-15 7,858 7,848 29,3 29,3 230,2394 229,9464 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-16 7,903 7,893 29,03 29,03 229,42409 229,13379 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-19 7,865 7,855 28,69 28,69 225,64685 225,35995 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-20 7,848 7,838 28,55 28,55 224,0604 223,7749 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-21 7,948 7,938 29,18 29,18 231,92264 231,63084 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-22 7,98 7,97 29,19 29,19 232,9362 232,6443 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-23 7,955 7,945 29,09 29,09 231,41095 231,12005 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-27 8,01 8 29,02 29,02 232,4502 232,16 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-28 7,915 7,905 28,86 28,86 228,4269 228,1383 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-29 7,938 7,928 28,87 28,87 229,17006 228,88136 962936 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Latin America Equity Fund USD 2005-12-30 7,958 7,948 29,1 29,1 231,5778 231,2868 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-04 6,728 6,718 49,21 49,21 331,08488 330,59278 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-05 6,828 6,818 48,47 48,47 330,95316 330,46846 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-07 6,87 6,86 48,56 48,56 333,6072 333,1216 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-11 6,96091 6,95091 48,87 48,87 340,1796717 339,6909717 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-12 6,913 6,903 49,19 49,19 340,05047 339,55857 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-13 6,843 6,833 49,05 49,05 335,64915 335,15865 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-14 6,915 6,905 49,22 49,22 340,3563 339,8641 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-17 6,915 6,905 49,68 49,68 343,5372 343,0404 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-18 6,968 6,958 49,34 49,34 343,80112 343,30772 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-19 6,91 6,9 49,48 49,48 341,9068 341,412 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-20 6,96 6,95 48,92 48,92 340,4832 339,994 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-21 6,978 6,968 48,78 48,78 340,38684 339,89904 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-24 6,933 6,923 49,18 49,18 340,96494 340,47314 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-25 6,95 6,94 48,83 48,83 339,3685 338,8802 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-26 6,995 6,985 49,47 49,47 346,04265 345,54795 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-27 6,93 6,92 49,33 49,33 341,8569 341,3636 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-28 6,985 6,975 49,33 49,33 344,57005 344,07675 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-01-31 6,998 6,988 49,38 49,38 345,56124 345,06744 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-01 6,993 6,983 49,23 49,23 344,26539 343,77309 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-02 6,953 6,943 49,57 49,57 344,66021 344,16451 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-03 6,968 6,958 49,22 49,22 342,96496 342,47276 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-04 7,01 7 49,57 49,57 347,4857 346,99 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-07 7,065 7,055 49,56 49,56 350,1414 349,6458 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-08 7,123 7,113 49,03 49,03 349,24069 348,75039 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-09 7,1 7,09 49,08 49,08 348,468 347,9772 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-10 7,088 7,078 49,49 49,49 350,78512 350,29022 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-14 7,03 7,02 50,24 50,24 353,1872 352,6848 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-15 7,005 6,995 50,36 50,36 352,7718 352,2682 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-16 6,973 6,963 50,32 50,32 350,88136 350,37816 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-17 6,97 6,96 50,21 50,21 349,9637 349,4616 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-18 6,965 6,955 50,5 50,5 351,7325 351,2275 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-21 6,978 6,968 50,57 50,57 352,87746 352,37176 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-22 6,905 6,895 50,91 50,91 351,53355 351,02445 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-23 6,895 6,885 50,29 50,29 346,74955 346,24665 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-24 6,858 6,848 50,46 50,46 346,05468 345,55008 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-25 6,885 6,875 50,77 50,77 349,55145 349,04375 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-02-28 6,828 6,818 51,62 51,62 352,46136 351,94516 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-01 6,87 6,86 51,65 51,65 354,8355 354,319 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-02 6,888 6,878 51,3 51,3 353,3544 352,8414 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-03 6,903 6,893 51,42 51,42 354,95226 354,43806 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-04 6,9 6,89 51,73 51,73 356,937 356,4197 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-07 6,84 6,83 51,79 51,79 354,2436 353,7257 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-08 6,825 6,815 51,94 51,94 354,4905 353,9711 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-09 6,76 6,75 52,28 52,28 353,4128 352,89 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-10 6,745 6,735 51,91 51,91 350,13295 349,61385 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-11 6,765 6,755 51,98 51,98 351,6447 351,1249 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-14 6,76 6,75 51,43 51,43 347,6668 347,1525 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-15 6,815 6,805 51,22 51,22 349,0643 348,5521 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-16 6,81 6,8 51,6 51,6 351,396 350,88 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-17 6,795 6,785 51,24 51,24 348,1758 347,6634 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-18 6,828 6,818 51,4 51,4 350,9592 350,4452 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-22 6,928 6,918 51,11 51,11 354,09008 353,57898 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-23 6,973 6,963 50,18 50,18 349,90514 349,40334 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-24 7,008 6,998 49,55 49,55 347,2464 346,7509 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-29 7,055 7,045 48,86 48,86 344,7073 344,2187 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-30 7,053 7,043 48,79 48,79 344,11587 343,62797 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-03-31 7,065 7,055 49,44 49,44 349,2936 348,7992 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-01 7,07 7,06 49,87 49,87 352,5809 352,0822 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-04 7,113 7,103 49,44 49,44 351,66672 351,17232 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-05 7,163 7,153 49,54 49,54 354,85502 354,35962 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-06 7,125 7,115 49,65 49,65 353,75625 353,25975 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-07 7,083 7,073 49,85 49,85 353,08755 352,58905 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-08 7,153 7,143 49,82 49,82 356,36246 355,86426 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-11 7,098 7,088 49,8 49,8 353,4804 352,9824 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-12 7,048 7,038 49,5 49,5 348,876 348,381 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-13 7,075 7,065 49,72 49,72 351,769 351,2718 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-14 7,12 7,11 48,95 48,95 348,524 348,0345 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-15 7,17 7,16 48,33 48,33 346,5261 346,0428 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-18 7,08 7,07 47,01 47,01 332,8308 332,3607 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-19 7,068 7,058 47,79 47,79 337,77972 337,30182 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-20 7,043 7,033 48,16 48,16 339,19088 338,70928 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-21 7,025 7,015 47,98 47,98 337,0595 336,5797 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-22 7,023 7,013 48,64 48,64 341,59872 341,11232 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-25 7,04 7,03 48,65 48,65 342,496 342,0095 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-26 7,035 7,025 48,6 48,6 341,901 341,415 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-27 7,085 7,075 48,51 48,51 343,69335 343,20825 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-04-28 7,085 7,075 48,43 48,43 343,12655 342,64225 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-02 7,15 7,14 48,54 48,54 347,061 346,5756 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-06 7,085 7,075 49,39 49,39 349,92815 349,43425 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-09 7,168 7,158 49,21 49,21 352,73728 352,24518 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-10 7,178 7,168 49,07 49,07 352,22446 351,73376 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-11 7,15 7,14 48,68 48,68 348,062 347,5752 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-12 7,243 7,233 48,22 48,22 349,25746 348,77526 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-13 7,265 7,255 47,76 47,76 346,9764 346,4988 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-16 7,32 7,31 47,31 47,31 346,3092 345,8361 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-17 7,313 7,303 46,98 46,98 343,56474 343,09494 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-18 7,3 7,29 46,99 46,99 343,027 342,5571 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-19 7,26 7,25 47,88 47,88 347,6088 347,13 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-20 7,28 7,27 47,66 47,66 346,9648 346,4882 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-23 7,32 7,31 47,87 47,87 350,4084 349,9297 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-24 7,295 7,285 48,06 48,06 350,5977 350,1171 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-25 7,298 7,288 47,66 47,66 347,82268 347,34608 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-26 7,33 7,32 47,4 47,4 347,442 346,968 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-27 7,338 7,328 47,97 47,97 352,00386 351,52416 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-30 7,338 7,328 48,18 48,18 353,54484 353,06304 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-05-31 7,403 7,393 48,03 48,03 355,56609 355,08579 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-01 7,428 7,418 47,96 47,96 356,24688 355,76728 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-02 7,473 7,463 48,21 48,21 360,27333 359,79123 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-03 7,438 7,428 48,59 48,59 361,41242 360,92652 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-07 7,448 7,438 48,9 48,9 364,2072 363,7182 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-08 7,435 7,425 49,13 49,13 365,28155 364,79025 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-09 7,523 7,513 48,68 48,68 366,21964 365,73284 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-10 7,525 7,515 48,34 48,34 363,7585 363,2751 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-13 7,643 7,633 48,34 48,34 369,46262 368,97922 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-14 7,663 7,653 48,42 48,42 371,04246 370,55826 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-15 7,693 7,683 48,71 48,71 374,72603 374,23893 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-16 7,678 7,668 49,03 49,03 376,45234 375,96204 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-17 7,643 7,633 49,64 49,64 379,39852 378,90212 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-20 7,543 7,533 49,5 49,5 373,3785 372,8835 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-21 7,648 7,638 49,54 49,54 378,88192 378,38652 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-22 7,608 7,598 49,69 49,69 378,04152 377,54462 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-23 7,73 7,72 49,84 49,84 385,2632 384,7648 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-27 7,73 7,72 49,08 49,08 379,3884 378,8976 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-28 7,76 7,75 48,99 48,99 380,1624 379,6725 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-29 7,833 7,823 48,91 48,91 383,11203 382,62293 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-06-30 7,823 7,813 48,91 48,91 382,62293 382,13383 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-01 7,858 7,848 48,94 48,94 384,57052 384,08112 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-04 7,945 7,935 48,95 48,95 388,90775 388,41825 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-05 7,963 7,953 48,57 48,57 386,76291 386,27721 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-06 7,895 7,885 48,64 48,64 384,0128 383,5264 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-07 7,878 7,868 48,45 48,45 381,6891 381,2046 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-08 7,913 7,903 48,33 48,33 382,43529 381,95199 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-11 7,89 7,88 48,85 48,85 385,4265 384,938 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-12 7,77 7,76 49,34 49,34 383,3718 382,8784 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-13 7,703 7,693 49,11 49,11 378,29433 377,80323 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-14 7,76 7,75 49,41 49,41 383,4216 382,9275 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-15 7,76 7,75 49,32 49,32 382,7232 382,23 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-19 7,878 7,868 49,23 49,23 387,83394 387,34164 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-20 7,818 7,808 49,63 49,63 388,00734 387,51104 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-21 7,775 7,765 50,41 50,41 391,93775 391,43365 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-22 7,758 7,748 50,38 50,38 390,84804 390,34424 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-25 7,838 7,828 50,25 50,25 393,8595 393,357 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-26 7,818 7,808 49,94 49,94 390,43092 389,93152 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-27 7,905 7,895 50,14 50,14 396,3567 395,8553 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-28 7,848 7,838 50,32 50,32 394,91136 394,40816 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-07-29 7,748 7,738 50,65 50,65 392,4362 391,9297 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-01 7,72 7,71 50,93 50,93 393,1796 392,6703 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-02 7,7 7,69 51,23 51,23 394,471 393,9587 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-03 7,685 7,675 51,49 51,49 395,70065 395,18575 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-04 7,618 7,608 51,23 51,23 390,27014 389,75784 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-05 7,548 7,538 50,48 50,48 381,02304 380,51824 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-08 7,558 7,548 50,58 50,58 382,28364 381,77784 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-09 7,548 7,538 50,72 50,72 382,83456 382,32736 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-10 7,558 7,548 51,84 51,84 391,80672 391,28832 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-11 7,523 7,513 52,68 52,68 396,31164 395,78484 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-12 7,46 7,45 52,91 52,91 394,7086 394,1795 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-15 7,508 7,498 52,96 52,96 397,62368 397,09408 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-16 7,523 7,513 52,89 52,89 397,89147 397,36257 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-17 7,605 7,595 52,56 52,56 399,7188 399,1932 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-18 7,61 7,6 52,1 52,1 396,481 395,96 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-19 7,698 7,688 52,02 52,02 400,44996 399,92976 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-22 7,69 7,68 53,07 53,07 408,1083 407,5776 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-23 7,663 7,653 52,83 52,83 404,83629 404,30799 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-24 7,673 7,663 52,74 52,74 404,67402 404,14662 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-25 7,588 7,578 52,55 52,55 398,7494 398,2239 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-26 7,578 7,568 52,72 52,72 399,51216 398,98496 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-29 7,573 7,563 51,74 51,74 391,82702 391,30962 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-30 7,633 7,623 52,1 52,1 397,6793 397,1583 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-08-31 7,668 7,658 52,21 52,21 400,34628 399,82418 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-01 7,568 7,558 52,93 52,93 400,57424 400,04494 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-02 7,435 7,425 53,35 53,35 396,65725 396,12375 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-05 7,41 7,4 53,8 53,8 398,658 398,12 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-06 7,485 7,475 53,6 53,6 401,196 400,66 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-07 7,43 7,42 53,53 53,53 397,7279 397,1926 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-08 7,498 7,488 53,35 53,35 400,0183 399,4848 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-09 7,523 7,513 53,87 53,87 405,26401 404,72531 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-12 7,555 7,545 54,41 54,41 411,06755 410,52345 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-13 7,57 7,56 54,23 54,23 410,5211 409,9788 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-14 7,61 7,6 53,92 53,92 410,3312 409,792 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-15 7,658 7,648 54,06 54,06 413,99148 413,45088 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-16 7,613 7,603 53,92 53,92 410,49296 409,95376 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-20 7,688 7,678 54,47 54,47 418,76536 418,22066 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-21 7,663 7,653 54,49 54,49 417,55687 417,01197 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-22 7,648 7,638 54,14 54,14 414,06272 413,52132 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-26 7,798 7,788 54,43 54,43 424,44514 423,90084 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-27 7,825 7,815 54,26 54,26 424,5845 424,0419 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-28 7,81 7,8 55,19 55,19 431,0339 430,482 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-29 7,785 7,775 56,1 56,1 436,7385 436,1775 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-09-30 7,785 7,775 55,84 55,84 434,7144 434,156 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-03 7,783 7,773 55,5 55,5 431,9565 431,4015 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-04 7,82 7,81 55,76 55,76 436,0432 435,4856 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-05 7,795 7,785 55,29 55,29 430,98555 430,43265 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-06 7,713 7,703 54,26 54,26 418,50738 417,96478 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-07 7,683 7,673 54,23 54,23 416,64909 416,10679 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-11 7,77 7,76 55,07 55,07 427,8939 427,3432 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-12 7,805 7,795 54,77 54,77 427,47985 426,93215 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-13 7,83 7,82 54,37 54,37 425,7171 425,1734 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-14 7,833 7,823 54,07 54,07 423,53031 422,98961 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-17 7,835 7,825 53,69 53,69 420,66115 420,12425 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-18 7,893 7,883 53,57 53,57 422,82801 422,29231 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-19 7,96 7,95 52,8 52,8 420,288 419,76 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-20 7,93 7,92 52,88 52,88 419,3384 418,8096 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-21 7,883 7,873 52,82 52,82 416,38006 415,85186 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-24 7,995 7,985 52,56 52,56 420,2172 419,6916 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-25 7,99 7,98 53,17 53,17 424,8283 424,2966 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-26 7,868 7,858 53,43 53,43 420,38724 419,85294 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-27 7,868 7,858 53,8 53,8 423,2984 422,7604 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-28 7,825 7,815 53,38 53,38 417,6985 417,1647 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-10-31 7,905 7,895 53,73 53,73 424,73565 424,19835 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-01 7,963 7,953 54,49 54,49 433,90387 433,35897 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-02 7,98 7,97 54,71 54,71 436,5858 436,0387 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-04 8,028 8,018 55,13 55,13 442,58364 442,03234 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-07 8,135 8,125 55,04 55,04 447,7504 447,2 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-08 8,17 8,16 55,28 55,28 451,6376 451,0848 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-09 8,12 8,11 54,95 54,95 446,194 445,6445 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-10 8,173 8,163 54,66 54,66 446,73618 446,18958 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-11 8,235 8,225 55,04 55,04 453,2544 452,704 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-14 8,133 8,123 54,55 54,55 443,65515 443,10965 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-15 8,185 8,175 54,24 54,24 443,9544 443,412 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-16 8,21 8,2 54,62 54,62 448,4302 447,884 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-17 8,258 8,248 55,36 55,36 457,16288 456,60928 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-18 8,223 8,213 55,92 55,92 459,83016 459,27096 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-21 8,123 8,113 55,89 55,89 453,99447 453,43557 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-22 8,15 8,14 55,31 55,31 450,7765 450,2234 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-24 8,053 8,043 55,89 55,89 450,08217 449,52327 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-25 8,078 8,068 56 56 452,368 451,808 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-28 8,118 8,108 56,13 56,13 455,66334 455,10204 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-29 8,015 8,005 56,24 56,24 450,7636 450,2012 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-11-30 8,088 8,078 56,1 56,1 453,7368 453,1758 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-01 8,083 8,073 56,27 56,27 454,83041 454,26771 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-02 8,103 8,093 56,77 56,77 460,00731 459,43961 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-05 8,045 8,035 57,43 57,43 462,02435 461,45005 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-06 7,993 7,983 57,25 57,25 457,59925 457,02675 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-07 8,015 8,005 57,28 57,28 459,0992 458,5264 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-08 7,988 7,978 56,59 56,59 452,04092 451,47502 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-12 7,953 7,943 58,11 58,11 462,14883 461,56773 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-13 7,905 7,895 58,42 58,42 461,8101 461,2259 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-14 7,848 7,838 58,67 58,67 460,44216 459,85546 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-15 7,858 7,848 58,61 58,61 460,55738 459,97128 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-16 7,903 7,893 58,44 58,44 461,85132 461,26692 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-19 7,865 7,855 58,99 58,99 463,95635 463,36645 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-20 7,848 7,838 59,34 59,34 465,70032 465,10692 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-21 7,948 7,938 59,51 59,51 472,98548 472,39038 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-27 8,01 8 60,14 60,14 481,7214 481,12 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-28 7,915 7,905 60,5 60,5 478,8575 478,2525 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-29 7,938 7,928 60,65 60,65 481,4397 480,8332 448563 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - Pacific Equity Fund USD 2005-12-30 7,958 7,948 60,28 60,28 479,70824 479,10544 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-03 6,668 6,658 72,61 72,61 484,16348 483,43738 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-04 6,728 6,718 71,43 71,43 480,58104 479,86674 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-05 6,828 6,818 69,8 69,8 476,5944 475,8964 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-07 6,87 6,86 68,91 68,91 473,4117 472,7226 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-10 6,96091 6,95091 68,72 68,72 478,3537352 477,6665352 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-11 6,96091 6,95091 68,5 68,5 476,822335 476,137335 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-12 6,913 6,903 68,13 68,13 470,98269 470,30139 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-13 6,843 6,833 68,38 68,38 467,92434 467,24054 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-14 6,915 6,905 68,51 68,51 473,74665 473,06155 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-18 6,968 6,958 68,77 68,77 479,18936 478,50166 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-19 6,91 6,9 69,39 69,39 479,4849 478,791 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-20 6,96 6,95 67,97 67,97 473,0712 472,3915 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-21 6,978 6,968 68,23 68,23 476,10894 475,42664 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-24 6,933 6,923 67,61 67,61 468,74013 468,06403 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-25 6,95 6,94 67,67 67,67 470,3065 469,6298 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-26 6,995 6,985 67,68 67,68 473,4216 472,7448 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-27 6,93 6,92 68,18 68,18 472,4874 471,8056 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-28 6,985 6,975 68,3 68,3 477,0755 476,3925 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-01-31 6,998 6,988 68,66 68,66 480,48268 479,79608 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-01 6,993 6,983 69,03 69,03 482,72679 482,03649 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-02 6,953 6,943 69,76 69,76 485,04128 484,34368 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-03 6,968 6,958 70,05 70,05 488,1084 487,4079 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-04 7,01 7 70,41 70,41 493,5741 492,87 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-07 7,065 7,055 71,31 71,31 503,80515 503,09205 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-08 7,123 7,113 71,15 71,15 506,80145 506,08995 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-09 7,1 7,09 71,14 71,14 505,094 504,3826 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-10 7,088 7,078 69,98 69,98 496,01824 495,31844 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-11 7,068 7,058 69,75 69,75 492,993 492,2955 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-14 7,03 7,02 70,97 70,97 498,9191 498,2094 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-15 7,005 6,995 71,06 71,06 497,7753 497,0647 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-16 6,973 6,963 70,83 70,83 493,89759 493,18929 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-17 6,97 6,96 71,5 71,5 498,355 497,64 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-18 6,965 6,955 70,69 70,69 492,35585 491,64895 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-22 6,905 6,895 69,92 69,92 482,7976 482,0984 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-23 6,895 6,885 69,6 69,6 479,892 479,196 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-24 6,858 6,848 69,36 69,36 475,67088 474,97728 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-25 6,885 6,875 70,31 70,31 484,08435 483,38125 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-02-28 6,828 6,818 71,31 71,31 486,90468 486,19158 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-01 6,87 6,86 71,09 71,09 488,3883 487,6774 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-02 6,888 6,878 71,15 71,15 490,0812 489,3697 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-03 6,903 6,893 71,75 71,75 495,29025 494,57275 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-04 6,9 6,89 71,82 71,82 495,558 494,8398 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-07 6,84 6,83 72,22 72,22 493,9848 493,2626 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-08 6,825 6,815 71,93 71,93 490,92225 490,20295 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-09 6,76 6,75 70,73 70,73 478,1348 477,4275 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-10 6,745 6,735 70,43 70,43 475,05035 474,34605 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-11 6,765 6,755 70,46 70,46 476,6619 475,9573 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-14 6,76 6,75 69,81 69,81 471,9156 471,2175 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-15 6,815 6,805 70,29 70,29 479,02635 478,32345 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-16 6,81 6,8 69,45 69,45 472,9545 472,26 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-17 6,795 6,785 69,16 69,16 469,9422 469,2506 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-18 6,828 6,818 69,26 69,26 472,90728 472,21468 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-21 6,908 6,898 69,19 69,19 477,96452 477,27262 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-22 6,928 6,918 69,64 69,64 482,46592 481,76952 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-23 6,973 6,963 68,69 68,69 478,97537 478,28847 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-24 7,008 6,998 69,1 69,1 484,2528 483,5618 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-29 7,055 7,045 69,05 69,05 487,14775 486,45725 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-30 7,053 7,043 67,72 67,72 477,62916 476,95196 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-03-31 7,065 7,055 68,84 68,84 486,3546 485,6662 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-01 7,07 7,06 69,06 69,06 488,2542 487,5636 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-04 7,113 7,103 68,31 68,31 485,88903 485,20593 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-05 7,163 7,153 68,82 68,82 492,95766 492,26946 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-06 7,125 7,115 68,99 68,99 491,55375 490,86385 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-07 7,083 7,073 68,62 68,62 486,03546 485,34926 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-08 7,153 7,143 69,1 69,1 494,2723 493,5813 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-11 7,098 7,088 68,1 68,1 483,3738 482,6928 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-12 7,048 7,038 67,37 67,37 474,82376 474,15006 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-13 7,075 7,065 68,15 68,15 482,16125 481,47975 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-14 7,12 7,11 67,36 67,36 479,6032 478,9296 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-15 7,17 7,16 66,01 66,01 473,2917 472,6316 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-18 7,08 7,07 64,81 64,81 458,8548 458,2067 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-19 7,068 7,058 66,03 66,03 466,70004 466,03974 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-20 7,043 7,033 66,12 66,12 465,68316 465,02196 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-21 7,025 7,015 66,42 66,42 466,6005 465,9363 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-22 7,023 7,013 66,68 66,68 468,29364 467,62684 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-25 7,04 7,03 66,55 66,55 468,512 467,8465 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-26 7,035 7,025 66,55 66,55 468,17925 467,51375 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-27 7,085 7,075 65,03 65,03 460,73755 460,08725 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-28 7,085 7,075 64,67 64,67 458,18695 457,54025 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-04-29 7,08 7,07 64,39 64,39 455,8812 455,2373 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-02 7,15 7,14 65,16 65,16 465,894 465,2424 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-03 7,178 7,168 65,38 65,38 469,29764 468,64384 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-04 7,11 7,1 65,2 65,2 463,572 462,92 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-06 7,085 7,075 66,46 66,46 470,8691 470,2045 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-09 7,168 7,158 66,53 66,53 476,88704 476,22174 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-10 7,178 7,168 66,57 66,57 477,83946 477,17376 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-11 7,15 7,14 66,2 66,2 473,33 472,668 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-12 7,243 7,233 66,15 66,15 479,12445 478,46295 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-13 7,265 7,255 65,28 65,28 474,2592 473,6064 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-16 7,32 7,31 65,28 65,28 477,8496 477,1968 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-17 7,313 7,303 65,77 65,77 480,97601 480,31831 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-18 7,3 7,29 66,44 66,44 485,012 484,3476 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-19 7,26 7,25 67,75 67,75 491,865 491,1875 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-20 7,28 7,27 67,34 67,34 490,2352 489,5618 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-23 7,32 7,31 68,02 68,02 497,9064 497,2262 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-24 7,295 7,285 68,15 68,15 497,15425 496,47275 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-25 7,298 7,288 67,75 67,75 494,4395 493,762 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-26 7,33 7,32 67,82 67,82 497,1206 496,4424 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-27 7,338 7,328 68,13 68,13 499,93794 499,25664 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-05-31 7,403 7,393 68,36 68,36 506,06908 505,38548 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-01 7,428 7,418 68,58 68,58 509,41224 508,72644 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-02 7,473 7,463 69,28 69,28 517,72944 517,03664 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-03 7,438 7,428 69,29 69,29 515,37902 514,68612 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-07 7,448 7,438 69,65 69,65 518,7532 518,0567 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-08 7,435 7,425 69,23 69,23 514,72505 514,03275 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-09 7,523 7,513 68,41 68,41 514,64843 513,96433 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-10 7,525 7,515 69,34 69,34 521,7835 521,0901 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-13 7,643 7,633 69,34 69,34 529,96562 529,27222 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-14 7,663 7,653 69,82 69,82 535,03066 534,33246 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-15 7,693 7,683 70,24 70,24 540,35632 539,65392 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-16 7,678 7,668 70,83 70,83 543,83274 543,12444 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-17 7,643 7,633 71,42 71,42 545,86306 545,14886 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-20 7,543 7,533 70,82 70,82 534,19526 533,48706 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-21 7,648 7,638 70,61 70,61 540,02528 539,31918 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-22 7,608 7,598 71 71 540,168 539,458 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-23 7,73 7,72 70,83 70,83 547,5159 546,8076 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-27 7,73 7,72 69,35 69,35 536,0755 535,382 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-28 7,76 7,75 70,23 70,23 544,9848 544,2825 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-29 7,833 7,823 70,99 70,99 556,06467 555,35477 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-06-30 7,823 7,813 71,48 71,48 559,18804 558,47324 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-01 7,858 7,848 70,86 70,86 556,81788 556,10928 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-05 7,963 7,953 71,35 71,35 568,16005 567,44655 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-06 7,895 7,885 72,53 72,53 572,62435 571,89905 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-07 7,878 7,868 71,38 71,38 562,33164 561,61784 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-08 7,913 7,903 72,45 72,45 573,29685 572,57235 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-11 7,89 7,88 74,04 74,04 584,1756 583,4352 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-12 7,77 7,76 74,26 74,26 577,0002 576,2576 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-13 7,703 7,693 74,23 74,23 571,79369 571,05139 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-14 7,76 7,75 73,66 73,66 571,6016 570,865 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-15 7,76 7,75 72,94 72,94 566,0144 565,285 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-18 7,78 7,77 73,11 73,11 568,7958 568,0647 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-19 7,878 7,868 73,26 73,26 577,14228 576,40968 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-20 7,818 7,808 73,91 73,91 577,82838 577,08928 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-21 7,775 7,765 74,97 74,97 582,89175 582,14205 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-22 7,758 7,748 74,94 74,94 581,38452 580,63512 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-25 7,838 7,828 75,05 75,05 588,2419 587,4914 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-26 7,818 7,808 74,62 74,62 583,37916 582,63296 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-27 7,905 7,895 74,74 74,74 590,8197 590,0723 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-28 7,848 7,838 75,42 75,42 591,89616 591,14196 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-07-29 7,748 7,738 76,23 76,23 590,63004 589,86774 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-01 7,72 7,71 76,33 76,33 589,2676 588,5043 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-02 7,7 7,69 76,56 76,56 589,512 588,7464 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-03 7,685 7,675 76,2 76,2 585,597 584,835 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-04 7,618 7,608 75,68 75,68 576,53024 575,77344 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-05 7,548 7,538 74,78 74,78 564,43944 563,69164 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-08 7,558 7,548 74,63 74,63 564,05354 563,30724 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-09 7,548 7,538 74,39 74,39 561,49572 560,75182 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-10 7,558 7,548 74,72 74,72 564,73376 563,98656 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-11 7,523 7,513 74,45 74,45 560,08735 559,34285 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-12 7,46 7,45 74,13 74,13 553,0098 552,2685 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-15 7,508 7,498 74,2 74,2 557,0936 556,3516 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-16 7,523 7,513 74,35 74,35 559,33505 558,59155 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-17 7,605 7,595 73,97 73,97 562,54185 561,80215 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-18 7,61 7,6 73,45 73,45 558,9545 558,22 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-19 7,698 7,688 73,79 73,79 568,03542 567,29752 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-22 7,69 7,68 74,12 74,12 569,9828 569,2416 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-23 7,663 7,653 74,23 74,23 568,82449 568,08219 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-24 7,673 7,663 73,91 73,91 567,11143 566,37233 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-25 7,588 7,578 74,06 74,06 561,96728 561,22668 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-26 7,578 7,568 73,54 73,54 557,28612 556,55072 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-29 7,573 7,563 72,94 72,94 552,37462 551,64522 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-30 7,633 7,623 73,83 73,83 563,54439 562,80609 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-08-31 7,668 7,658 73,91 73,91 566,74188 566,00278 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-01 7,568 7,558 75,19 75,19 569,03792 568,28602 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-02 7,435 7,425 74,64 74,64 554,9484 554,202 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-06 7,485 7,475 74,76 74,76 559,5786 558,831 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-07 7,43 7,42 75,29 75,29 559,4047 558,6518 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-08 7,498 7,488 75,54 75,54 566,39892 565,64352 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-09 7,523 7,513 75,85 75,85 570,61955 569,86105 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-12 7,555 7,545 76,31 76,31 576,52205 575,75895 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-13 7,57 7,56 75,95 75,95 574,9415 574,182 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-14 7,61 7,6 75,56 75,56 575,0116 574,256 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-15 7,658 7,648 75,06 75,06 574,80948 574,05888 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-16 7,613 7,603 75,18 75,18 572,34534 571,59354 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-19 7,698 7,688 75,57 75,57 581,73786 580,98216 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-20 7,688 7,678 75,34 75,34 579,21392 578,46052 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-21 7,663 7,653 73,53 73,53 563,46039 562,72509 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-22 7,648 7,638 73,02 73,02 558,45696 557,72676 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-23 7,733 7,723 73,23 73,23 566,28759 565,55529 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-26 7,798 7,788 74,38 74,38 580,01524 579,27144 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-27 7,825 7,815 74,67 74,67 584,29275 583,54605 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-28 7,81 7,8 74,64 74,64 582,9384 582,192 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-29 7,785 7,775 74,27 74,27 578,19195 577,44925 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-09-30 7,785 7,775 74,85 74,85 582,70725 581,95875 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-03 7,783 7,773 75,92 75,92 590,88536 590,12616 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-04 7,82 7,81 75,61 75,61 591,2702 590,5141 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-05 7,795 7,785 74,58 74,58 581,3511 580,6053 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-06 7,713 7,703 72,95 72,95 562,66335 561,93385 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-07 7,683 7,673 72,55 72,55 557,40165 556,67615 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-10 7,698 7,688 72,24 72,24 556,10352 555,38112 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-11 7,77 7,76 72,44 72,44 562,8588 562,1344 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-12 7,805 7,795 71,19 71,19 555,63795 554,92605 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-13 7,83 7,82 69,75 69,75 546,1425 545,445 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-14 7,833 7,823 70,4 70,4 551,4432 550,7392 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-17 7,835 7,825 71,48 71,48 560,0458 559,331 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-18 7,893 7,883 71,09 71,09 561,11337 560,40247 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-19 7,96 7,95 70,03 70,03 557,4388 556,7385 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-20 7,93 7,92 71,95 71,95 570,5635 569,844 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-21 7,883 7,873 71,42 71,42 563,00386 562,28966 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-24 7,995 7,985 72,37 72,37 578,59815 577,87445 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-25 7,99 7,98 73,17 73,17 584,6283 583,8966 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-26 7,868 7,858 72,93 72,93 573,81324 573,08394 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-27 7,868 7,858 71,66 71,66 563,82088 563,10428 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-28 7,825 7,815 70,93 70,93 555,02725 554,31795 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-10-31 7,905 7,895 72,74 72,74 575,0097 574,2823 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-01 7,963 7,953 72,44 72,44 576,83972 576,11532 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-02 7,98 7,97 73,05 73,05 582,939 582,2085 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-03 8,01 8 74,97 74,97 600,5097 599,76 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-04 8,028 8,018 74,53 74,53 598,32684 597,58154 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-07 8,135 8,125 74,66 74,66 607,3591 606,6125 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-08 8,17 8,16 74,39 74,39 607,7663 607,0224 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-09 8,12 8,11 74,39 74,39 604,0468 603,3029 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-10 8,173 8,163 74,57 74,57 609,46061 608,71491 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-11 8,235 8,225 75,3 75,3 620,0955 619,3425 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-14 8,133 8,123 75,57 75,57 614,61081 613,85511 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-15 8,185 8,175 75 75 613,875 613,125 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-16 8,21 8,2 74,33 74,33 610,2493 609,506 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-17 8,258 8,248 75,21 75,21 621,08418 620,33208 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-18 8,223 8,213 75,97 75,97 624,70131 623,94161 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-21 8,123 8,113 75,67 75,67 614,66741 613,91071 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-22 8,15 8,14 76,46 76,46 623,149 622,3844 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-23 8,048 8,038 77,15 77,15 620,9032 620,1317 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-25 8,078 8,068 76,99 76,99 621,92522 621,15532 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-28 8,118 8,108 76,57 76,57 621,59526 620,82956 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-29 8,015 8,005 76,25 76,25 611,14375 610,38125 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-11-30 8,088 8,078 76,42 76,42 618,08496 617,32076 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-01 8,083 8,073 77,33 77,33 625,05839 624,28509 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-02 8,103 8,093 77,73 77,73 629,84619 629,06889 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-05 8,045 8,035 77,86 77,86 626,3837 625,6051 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-06 7,993 7,983 77,87 77,87 622,41491 621,63621 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-07 8,015 8,005 77,54 77,54 621,4831 620,7077 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-08 7,988 7,978 77,17 77,17 616,43396 615,66226 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-12 7,953 7,943 78,32 78,32 622,87896 622,09576 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-13 7,905 7,895 78,46 78,46 620,2263 619,4417 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-14 7,848 7,838 78,63 78,63 617,08824 616,30194 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-15 7,858 7,848 78,07 78,07 613,47406 612,69336 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-16 7,903 7,893 77,63 77,63 613,50989 612,73359 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-19 7,865 7,855 76,93 76,93 605,05445 604,28515 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-20 7,848 7,838 76,1 76,1 597,2328 596,4718 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-21 7,948 7,938 76,8 76,8 610,4064 609,6384 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-22 7,98 7,97 77,18 77,18 615,8964 615,1246 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-23 7,955 7,945 77,71 77,71 618,18305 617,40595 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-27 8,01 8 77,83 77,83 623,4183 622,64 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-28 7,915 7,905 76,78 76,78 607,7137 606,9459 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-29 7,938 7,928 77,18 77,18 612,65484 611,88304 998765 JPMorgan Asset Management (Europe) S.a.r.l. JPM Funds - US Small Cap Growth Fund USD 2005-12-30 7,958 7,948 76,82 76,82 611,33356 610,56536 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-03 9,0065 9,0015 125,13 125,13 1126,983345 1126,357695 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-04 9,0345 9,0295 125,3 125,3 1132,02285 1131,39635 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-05 9,0615 9,0565 125,15 125,15 1134,046725 1133,420975 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-07 9,0615 9,0565 125,6 125,6 1138,1244 1137,4964 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-10 9,08619 9,08119 125,6 125,6 1141,225464 1140,597464 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-11 9,08619 9,08119 125,64 125,64 1141,5889116 1140,9607116 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-12 9,0455 9,0405 125,65 125,65 1136,567075 1135,938825 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-13 9,0505 9,0455 125,91 125,91 1139,548455 1138,918905 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-14 9,0455 9,0405 125,93 125,93 1139,099815 1138,470165 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-18 9,0585 9,0535 126,01 126,01 1141,461585 1140,831535 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-19 9,0225 9,0175 126,29 126,29 1139,451525 1138,820075 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-20 9,0315 9,0265 126,08 126,08 1138,69152 1138,06112 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-21 9,0505 9,0455 126,08 126,08 1141,08704 1140,45664 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-24 9,0655 9,0605 126,25 126,25 1144,519375 1143,888125 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-25 9,0715 9,0665 126,44 126,44 1147,00046 1146,36826 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-26 9,0885 9,0835 126,25 126,25 1147,423125 1146,791875 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-27 9,0675 9,0625 126,14 126,14 1143,77445 1143,14375 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-28 9,0955 9,0905 126,37 126,37 1149,398335 1148,766485 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-01-31 9,1075 9,1025 126,43 126,43 1151,461225 1150,829075 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-01 9,1035 9,0985 126,59 126,59 1152,412065 1151,779115 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-02 9,0905 9,0855 126,6 126,6 1150,8573 1150,2243 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-03 9,0695 9,0645 126,53 126,53 1147,563835 1146,931185 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-04 9,0895 9,0845 126,86 126,86 1153,09397 1152,45967 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-07 9,0755 9,0705 127,07 127,07 1153,223785 1152,588435 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-08 9,0895 9,0845 127,07 127,07 1155,002765 1154,367415 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-09 9,0695 9,0645 127,14 127,14 1153,09623 1152,46053 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-10 9,0805 9,0755 127,1 127,1 1154,13155 1153,49605 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-11 9,0935 9,0885 126,85 126,85 1153,510475 1152,876225 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-14 9,1105 9,1055 126,7 126,7 1154,30035 1153,66685 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-15 9,0765 9,0715 126,62 126,62 1149,26643 1148,63333 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-16 9,0705 9,0655 126,66 126,66 1148,86953 1148,23623 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-17 9,0925 9,0875 126,3 126,3 1148,38275 1147,75125 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-18 9,0945 9,0895 125,92 125,92 1145,17944 1144,54984 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-22 9,0975 9,0925 125,79 125,79 1144,374525 1143,745575 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-23 9,1045 9,0995 125,94 125,94 1146,62073 1145,99103 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-24 9,0715 9,0665 125,87 125,87 1141,829705 1141,200355 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-25 9,0845 9,0795 125,67 125,67 1141,649115 1141,020765 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-02-28 9,0505 9,0455 125,74 125,74 1138,00987 1137,38117 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-01 9,0565 9,0515 125,49 125,49 1136,500185 1135,872735 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-02 9,0645 9,0595 125,27 125,27 1135,509915 1134,883565 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-03 9,0675 9,0625 125,38 125,38 1136,88315 1136,25625 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-04 9,0415 9,0365 125,61 125,61 1135,702815 1135,074765 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-07 9,0425 9,0375 125,88 125,88 1138,2699 1137,6405 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-08 9,0345 9,0295 125,7 125,7 1135,63665 1135,00815 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-09 9,0365 9,0315 125,38 125,38 1132,99637 1132,36947 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-10 9,0655 9,0605 125,39 125,39 1136,723045 1136,096095 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-11 9,0795 9,0745 125,29 125,29 1137,570555 1136,944105 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-14 9,0695 9,0645 125,23 125,23 1135,773485 1135,147335 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-15 9,1035 9,0985 125,53 125,53 1142,762355 1142,134705 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-16 9,0975 9,0925 125,52 125,52 1141,9182 1141,2906 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-17 9,1045 9,0995 125,77 125,77 1145,072965 1144,444115 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-18 9,1035 9,0985 125,54 125,54 1142,85339 1142,22569 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-21 9,1265 9,1215 125,53 125,53 1145,649545 1145,021895 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-22 9,1265 9,1215 125,72 125,72 1147,38358 1146,75498 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-23 9,1165 9,1115 125,39 125,39 1143,117935 1142,490985 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-24 9,1135 9,1085 125,6 125,6 1144,6556 1144,0276 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-29 9,1315 9,1265 125,62 125,62 1147,09903 1146,47093 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-30 9,1425 9,1375 125,67 125,67 1148,937975 1148,309625 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-03-31 9,1405 9,1355 126,01 126,01 1151,794405 1151,164355 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-01 9,1645 9,1595 126,25 126,25 1157,018125 1156,386875 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-04 9,1695 9,1645 126,26 126,26 1157,74107 1157,10977 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-05 9,1745 9,1695 126,25 126,25 1158,280625 1157,649375 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-06 9,1705 9,1655 126,26 126,26 1157,86733 1157,23603 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-07 9,1505 9,1455 126,34 126,34 1156,07417 1155,44247 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-08 9,1625 9,1575 126,15 126,15 1155,849375 1155,218625 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-11 9,1705 9,1655 126,25 126,25 1157,775625 1157,144375 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-12 9,1525 9,1475 126,36 126,36 1156,5099 1155,8781 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-13 9,1495 9,1445 126,6 126,6 1158,3267 1157,6937 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-14 9,1685 9,1635 126,57 126,57 1160,457045 1159,824195 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-15 9,1925 9,1875 126,81 126,81 1165,700925 1165,066875 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-18 9,1805 9,1755 127,04 127,04 1166,29072 1165,65552 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-19 9,2035 9,1985 127,07 127,07 1169,488745 1168,853395 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-20 9,1915 9,1865 127,08 127,08 1168,05582 1167,42042 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-21 9,1855 9,1805 126,98 126,98 1166,37479 1165,73989 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-22 9,1625 9,1575 127,07 127,07 1164,278875 1163,643525 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-25 9,1685 9,1635 127,23 127,23 1166,508255 1165,872105 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-26 9,1375 9,1325 127,34 127,34 1163,56925 1162,93255 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-27 9,1465 9,1415 127,44 127,44 1165,62996 1164,99276 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-28 9,1505 9,1455 127,5 127,5 1166,68875 1166,05125 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-04-29 9,1705 9,1655 127,47 127,47 1168,963635 1168,326285 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-02 9,1935 9,1885 127,62 127,62 1173,27447 1172,63637 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-03 9,2245 9,2195 127,67 127,67 1177,691915 1177,053565 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-04 9,1915 9,1865 127,47 127,47 1171,640505 1171,003155 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-06 9,1715 9,1665 127,39 127,39 1168,357385 1167,720435 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-09 9,1815 9,1765 127,31 127,31 1168,896765 1168,260215 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-10 9,1985 9,1935 127,58 127,58 1173,54463 1172,90673 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-11 9,2105 9,2055 127,78 127,78 1176,91769 1176,27879 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-12 9,2315 9,2265 127,76 127,76 1179,41644 1178,77764 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-13 9,2045 9,1995 127,95 127,95 1177,715775 1177,076025 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-16 9,2145 9,2095 127,86 127,86 1178,16597 1177,52667 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-17 9,2325 9,2275 127,8 127,8 1179,9135 1179,2745 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-18 9,2095 9,2045 128,05 128,05 1179,276475 1178,636225 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-19 9,1905 9,1855 128,06 128,06 1176,93543 1176,29513 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-20 9,1955 9,1905 127,93 127,93 1176,380315 1175,740665 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-23 9,1805 9,1755 128,02 128,02 1175,28761 1174,64751 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-24 9,1815 9,1765 128,28 128,28 1177,80282 1177,16142 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-25 9,1785 9,1735 128,32 128,32 1177,78512 1177,14352 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-26 9,1945 9,1895 128,14 128,14 1178,18323 1177,54253 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-27 9,1955 9,1905 128,06 128,06 1177,57573 1176,93543 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-05-31 9,1665 9,1615 128,41 128,41 1177,070265 1176,428215 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-01 9,1455 9,1405 128,64 128,64 1176,47712 1175,83392 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-02 9,1565 9,1515 128,79 128,79 1179,265635 1178,621685 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-03 9,1315 9,1265 129,17 129,17 1179,515855 1178,870005 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-07 9,1455 9,1405 129,23 129,23 1181,872965 1181,226815 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-08 9,1455 9,1405 129,31 129,31 1182,604605 1181,958055 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-09 9,1965 9,1915 129,15 129,15 1187,727975 1187,082225 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-10 9,1975 9,1925 129,13 129,13 1187,673175 1187,027525 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-13 9,2365 9,2315 128,9 128,9 1190,58485 1189,94035 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-14 9,2985 9,2935 128,81 128,81 1197,739785 1197,095735 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-15 9,2695 9,2645 128,4 128,4 1190,2038 1189,5618 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-16 9,2695 9,2645 128,28 128,28 1189,09146 1188,45006 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-17 9,2695 9,2645 128,42 128,42 1190,38919 1189,74709 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-20 9,2255 9,2205 128,4 128,4 1184,5542 1183,9122 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-21 9,2725 9,2675 128,84 128,84 1194,6689 1194,0247 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-22 9,2615 9,2565 129,24 129,24 1196,95626 1196,31006 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-23 9,3535 9,3485 129,31 129,31 1209,501085 1208,854535 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-27 9,3855 9,3805 129,57 129,57 1216,079235 1215,431385 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-28 9,3995 9,3945 129,39 129,39 1216,201305 1215,554355 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-29 9,4215 9,4165 129,48 129,48 1219,89582 1219,24842 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-06-30 9,4415 9,4365 129,38 129,38 1221,54127 1220,89437 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-01 9,4595 9,4545 129,51 129,51 1225,099845 1224,452295 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-05 9,4575 9,4525 129 129 1220,0175 1219,3725 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-06 9,4195 9,4145 129 129 1215,1155 1214,4705 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-07 9,3965 9,3915 129,19 129,19 1213,933835 1213,287885 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-08 9,4175 9,4125 129,23 129,23 1217,023525 1216,377375 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-11 9,4665 9,4615 128,93 128,93 1220,515845 1219,871195 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-12 9,4645 9,4595 128,86 128,86 1219,59547 1218,95117 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-13 9,3915 9,3865 128,72 128,72 1208,87388 1208,23028 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-14 9,3675 9,3625 128,59 128,59 1204,566825 1203,923875 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-15 9,4055 9,4005 128,56 128,56 1209,17108 1208,52828 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-18 9,3895 9,3845 128,74 128,74 1208,80423 1208,16053 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-19 9,4425 9,4375 128,62 128,62 1214,49435 1213,85125 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-20 9,4265 9,4215 128,61 128,61 1212,342165 1211,699115 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-21 9,4625 9,4575 128,62 128,62 1217,06675 1216,42365 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-22 9,4495 9,4445 128,77 128,77 1216,812115 1216,168265 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-25 9,4275 9,4225 128,87 128,87 1214,921925 1214,277575 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-26 9,4155 9,4105 128,73 128,73 1212,057315 1211,413665 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-27 9,4725 9,4675 128,77 128,77 1219,773825 1219,129975 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-28 9,4515 9,4465 128,77 128,77 1217,069655 1216,425805 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-07-29 9,3885 9,3835 128,8 128,8 1209,2388 1208,5948 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-01 9,3985 9,3935 128,46 128,46 1207,33131 1206,68901 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-02 9,3995 9,3945 128,29 128,29 1205,861855 1205,220405 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-03 9,3755 9,3705 128,26 128,26 1202,50163 1201,86033 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-04 9,3735 9,3685 128,31 128,31 1202,713785 1202,072235 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-05 9,3355 9,3305 128,04 128,04 1195,31742 1194,67722 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-08 9,3335 9,3285 127,99 127,99 1194,594665 1193,954715 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-09 9,3455 9,3405 128,03 128,03 1196,504365 1195,864215 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-10 9,3535 9,3485 128,13 128,13 1198,463955 1197,823305 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-11 9,3365 9,3315 128,08 128,08 1195,81892 1195,17852 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-12 9,3025 9,2975 128,31 128,31 1193,603775 1192,962225 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-15 9,3065 9,3015 128,46 128,46 1195,51299 1194,87069 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-16 9,2995 9,2945 128,6 128,6 1195,9157 1195,2727 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-17 9,3405 9,3355 128,74 128,74 1202,49597 1201,85227 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-18 9,3365 9,3315 128,83 128,83 1202,821295 1202,177145 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-19 9,3395 9,3345 128,85 128,85 1203,394575 1202,750325 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-22 9,3655 9,3605 128,75 128,75 1205,808125 1205,164375 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-23 9,3715 9,3665 128,92 128,92 1208,17378 1207,52918 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-24 9,3365 9,3315 129,11 129,11 1205,435515 1204,789965 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-25 9,3335 9,3285 129,21 129,21 1205,981535 1205,335485 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-26 9,3415 9,3365 129,3 129,3 1207,85595 1207,20945 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-29 9,3295 9,3245 129,39 129,39 1207,144005 1206,497055 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-30 9,3285 9,3235 129,36 129,36 1206,73476 1206,08796 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-08-31 9,3585 9,3535 129,5 129,5 1211,92575 1211,27825 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-01 9,3365 9,3315 129,75 129,75 1211,410875 1210,762125 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-02 9,3025 9,2975 129,88 129,88 1208,2087 1207,5593 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-06 9,3225 9,3175 129,92 129,92 1211,1792 1210,5296 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-07 9,3075 9,3025 129,73 129,73 1207,461975 1206,813325 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-08 9,3255 9,3205 129,78 129,78 1210,26339 1209,61449 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-09 9,3445 9,3395 129,84 129,84 1213,28988 1212,64068 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-12 9,3015 9,2965 129,53 129,53 1204,823295 1204,175645 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-13 9,3015 9,2965 129,58 129,58 1205,28837 1204,64047 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-14 9,3365 9,3315 129,67 129,67 1210,663955 1210,015605 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-15 9,3425 9,3375 129,54 129,54 1210,22745 1209,57975 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-16 9,3465 9,3415 129,36 129,36 1209,06324 1208,41644 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-19 9,3355 9,3305 129,47 129,47 1208,667185 1208,019835 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-20 9,3395 9,3345 129,63 129,63 1210,679385 1210,031235 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-21 9,3405 9,3355 129,87 129,87 1213,050735 1212,401385 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-22 9,3405 9,3355 129,88 129,88 1213,14414 1212,49474 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-23 9,3695 9,3645 129,81 129,81 1216,254795 1215,605745 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-26 9,3815 9,3765 129,45 129,45 1214,435175 1213,787925 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-27 9,3885 9,3835 129,48 129,48 1215,62298 1214,97558 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-28 9,3935 9,3885 129,3 129,3 1214,57955 1213,93305 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-29 9,3845 9,3795 129,27 129,27 1213,134315 1212,487965 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-09-30 9,3435 9,3385 129,37 129,37 1208,768595 1208,121745 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-03 9,3025 9,2975 129,18 129,18 1201,69695 1201,05105 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-04 9,3185 9,3135 129,13 129,13 1203,297905 1202,652255 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-05 9,3105 9,3055 129,23 129,23 1203,195915 1202,549765 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-06 9,3015 9,2965 129,15 129,15 1201,288725 1200,642975 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-07 9,3385 9,3335 128,97 128,97 1204,386345 1203,741495 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-11 9,3395 9,3345 129,08 129,08 1205,54266 1204,89726 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-12 9,3375 9,3325 128,9 128,9 1203,60375 1202,95925 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-13 9,3815 9,3765 128,54 128,54 1205,89801 1205,25531 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-14 9,4135 9,4085 128,49 128,49 1209,540615 1208,898165 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-17 9,4575 9,4525 128,45 128,45 1214,815875 1214,173625 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-18 9,4625 9,4575 128,5 128,5 1215,93125 1215,28875 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-19 9,4605 9,4555 128,74 128,74 1217,94477 1217,30107 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-20 9,4935 9,4885 128,5 128,5 1219,91475 1219,27225 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-21 9,4915 9,4865 128,79 128,79 1222,410285 1221,766335 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-24 9,5455 9,5405 128,89 128,89 1230,319495 1229,675045 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-25 9,5465 9,5415 128,66 128,66 1228,25269 1227,60939 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-26 9,4975 9,4925 128,12 128,12 1216,8197 1216,1791 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-27 9,5355 9,5305 128,1 128,1 1221,49755 1220,85705 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-28 9,5135 9,5085 128,1 128,1 1218,67935 1218,03885 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-10-31 9,5495 9,5445 128,1 128,1 1223,29095 1222,65045 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-01 9,5495 9,5445 128,07 128,07 1223,004465 1222,364115 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-02 9,5855 9,5805 127,8 127,8 1225,0269 1224,3879 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-03 9,6515 9,6465 127,86 127,86 1234,04079 1233,40149 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-04 9,5875 9,5825 127,75 127,75 1224,803125 1224,164375 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-07 9,6075 9,6025 127,72 127,72 1227,0699 1226,4313 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-08 9,5685 9,5635 127,87 127,87 1223,524095 1222,884745 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-09 9,5575 9,5525 127,74 127,74 1220,87505 1220,23635 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-10 9,6105 9,6055 127,73 127,73 1227,549165 1226,910515 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-14 9,5505 9,5455 127,99 127,99 1222,368495 1221,728545 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-15 9,5805 9,5755 127,88 127,88 1225,15434 1224,51494 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-16 9,6235 9,6185 128,21 128,21 1233,828935 1233,187885 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-17 9,6355 9,6305 128,19 128,19 1235,174745 1234,533795 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-18 9,6085 9,6035 128 128 1229,888 1229,248 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-21 9,5915 9,5865 128,01 128,01 1227,807915 1227,167865 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-22 9,5585 9,5535 128,11 128,11 1224,539435 1223,898885 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-23 9,5155 9,5105 128,2 128,2 1219,8871 1219,2461 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-25 9,4965 9,4915 128,5 128,5 1220,30025 1219,65775 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-28 9,4835 9,4785 128,43 128,43 1217,965905 1217,323755 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-29 9,4785 9,4735 128,5 128,5 1217,98725 1217,34475 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-11-30 9,5295 9,5245 128,34 128,34 1223,01603 1222,37433 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-01 9,5165 9,5115 128,57 128,57 1223,536405 1222,893555 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-02 9,4905 9,4855 128,4 128,4 1218,5802 1217,9382 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-05 9,4065 9,4015 128,32 128,32 1207,04208 1206,40048 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-06 9,4185 9,4135 128,41 128,41 1209,429585 1208,787535 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-07 9,4255 9,4205 128,52 128,52 1211,36526 1210,72266 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-08 9,3965 9,3915 128,49 128,49 1207,356285 1206,713835 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-12 9,4315 9,4265 128,19 128,19 1209,023985 1208,383035 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-13 9,4295 9,4245 128,31 128,31 1209,899145 1209,257595 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-14 9,4365 9,4315 128,48 128,48 1212,40152 1211,75912 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-15 9,4345 9,4295 128,53 128,53 1212,616285 1211,973635 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-16 9,4765 9,4715 128,64 128,64 1219,05696 1218,41376 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-19 9,4535 9,4485 128,63 128,63 1216,003705 1215,360555 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-20 9,4015 9,3965 128,64 128,64 1209,40896 1208,76576 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-21 9,4485 9,4435 128,55 128,55 1214,604675 1213,961925 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-22 9,4365 9,4315 128,58 128,58 1213,34517 1212,70227 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-23 9,4425 9,4375 128,65 128,65 1214,777625 1214,134375 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-27 9,4915 9,4865 128,88 128,88 1223,26452 1222,62012 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-28 9,4345 9,4295 128,98 128,98 1216,86181 1216,21691 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-29 9,4115 9,4065 129 129 1214,0835 1213,4385 132175 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (EUR) EUR 2005-12-30 9,4325 9,4275 129,22 129,22 1218,86765 1218,22155 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-03 6,668 6,658 159,14 159,14 1061,14552 1059,55412 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-04 6,728 6,718 158,46 158,46 1066,11888 1064,53428 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-05 6,828 6,818 156,36 156,36 1067,62608 1066,06248 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-07 6,87 6,86 155,16 155,16 1065,9492 1064,3976 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-10 6,96091 6,95091 154,82 154,82 1077,6880862 1076,1398862 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-11 6,96091 6,95091 155,14 155,14 1079,9155774 1078,3641774 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-12 6,913 6,903 155,11 155,11 1072,27543 1070,72433 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-13 6,843 6,833 156,45 156,45 1070,58735 1069,02285 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-14 6,915 6,905 156,9 156,9 1084,9635 1083,3945 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-17 6,915 6,905 159,05 159,05 1099,83075 1098,24025 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-18 6,968 6,958 159,07 159,07 1108,39976 1106,80906 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-19 6,91 6,9 159,14 159,14 1099,6574 1098,066 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-20 6,96 6,95 158,24 158,24 1101,3504 1099,768 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-21 6,978 6,968 157,79 157,79 1101,05862 1099,48072 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-24 6,933 6,923 156,98 156,98 1088,34234 1086,77254 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-25 6,95 6,94 157,6 157,6 1095,32 1093,744 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-26 6,995 6,985 158,99 158,99 1112,13505 1110,54515 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-27 6,93 6,92 159,07 159,07 1102,3551 1100,7644 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-28 6,985 6,975 159,86 159,86 1116,6221 1115,0235 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-01-31 6,998 6,988 161,08 161,08 1127,23784 1125,62704 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-01 6,993 6,983 160,58 160,58 1122,93594 1121,33014 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-02 6,953 6,943 161,41 161,41 1122,28373 1120,66963 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-03 6,968 6,958 162,04 162,04 1129,09472 1127,47432 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-04 7,01 7 162,04 162,04 1135,9004 1134,28 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-14 7,03 7,02 165,43 165,43 1162,9729 1161,3186 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-15 7,005 6,995 165,63 165,63 1160,23815 1158,58185 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-16 6,973 6,963 165,91 165,91 1156,89043 1155,23133 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-17 6,97 6,96 165,23 165,23 1151,6531 1150,0008 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-18 6,965 6,955 166,58 166,58 1160,2297 1158,5639 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-21 6,978 6,968 166,59 166,59 1162,46502 1160,79912 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-22 6,905 6,895 166,65 166,65 1150,71825 1149,05175 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-23 6,895 6,885 165,62 165,62 1141,9499 1140,2937 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-24 6,858 6,848 166,58 166,58 1142,40564 1140,73984 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-02-25 6,885 6,875 167,18 167,18 1151,0343 1149,3625 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-02 6,888 6,878 166,73 166,73 1148,43624 1146,76894 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-03 6,903 6,893 167,26 167,26 1154,59578 1152,92318 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-04 6,9 6,89 166,47 166,47 1148,643 1146,9783 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-07 6,84 6,83 167,15 167,15 1143,306 1141,6345 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-08 6,825 6,815 167,27 167,27 1141,61775 1139,94505 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-09 6,76 6,75 168,48 168,48 1138,9248 1137,24 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-10 6,745 6,735 167,36 167,36 1128,8432 1127,1696 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-11 6,765 6,755 168,61 168,61 1140,64665 1138,96055 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-14 6,76 6,75 167,54 167,54 1132,5704 1130,895 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-15 6,815 6,805 164,72 164,72 1122,5668 1120,9196 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-16 6,81 6,8 165,39 165,39 1126,3059 1124,652 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-17 6,795 6,785 164,86 164,86 1120,2237 1118,5751 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-18 6,828 6,818 165,09 165,09 1127,23452 1125,58362 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-21 6,908 6,898 164,27 164,27 1134,77716 1133,13446 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-22 6,928 6,918 163,33 163,33 1131,55024 1129,91694 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-23 6,973 6,963 161,76 161,76 1127,95248 1126,33488 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-24 7,008 6,998 160,73 160,73 1126,39584 1124,78854 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-29 7,055 7,045 159,04 159,04 1122,0272 1120,4368 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-30 7,053 7,043 158,1 158,1 1115,0793 1113,4983 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-03-31 7,065 7,055 160,14 160,14 1131,3891 1129,7877 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-01 7,07 7,06 162,2 162,2 1146,754 1145,132 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-04 7,113 7,103 161,9 161,9 1151,5947 1149,9757 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-06 7,125 7,115 162,41 162,41 1157,17125 1155,54715 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-07 7,083 7,073 162,81 162,81 1153,18323 1151,55513 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-08 7,153 7,143 163,52 163,52 1169,65856 1168,02336 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-11 7,098 7,088 163,1 163,1 1157,6838 1156,0528 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-12 7,048 7,038 163,01 163,01 1148,89448 1147,26438 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-13 7,075 7,065 163,47 163,47 1156,55025 1154,91555 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-14 7,12 7,11 161,41 161,41 1149,2392 1147,6251 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-15 7,17 7,16 159,62 159,62 1144,4754 1142,8792 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-18 7,08 7,07 155,6 155,6 1101,648 1100,092 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-19 7,068 7,058 156,79 156,79 1108,19172 1106,62382 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-20 7,043 7,033 157,15 157,15 1106,80745 1105,23595 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-21 7,025 7,015 157,63 157,63 1107,35075 1105,77445 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-22 7,023 7,013 158,84 158,84 1115,53332 1113,94492 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-25 7,04 7,03 159,24 159,24 1121,0496 1119,4572 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-26 7,035 7,025 159,64 159,64 1123,0674 1121,471 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-27 7,085 7,075 158,38 158,38 1122,1223 1120,5385 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-28 7,085 7,075 158,13 158,13 1120,35105 1118,76975 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-04-29 7,08 7,07 157,67 157,67 1116,3036 1114,7269 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-03 7,178 7,168 158,39 158,39 1136,92342 1135,33952 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-04 7,11 7,1 160,07 160,07 1138,0977 1136,497 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-06 7,085 7,075 162,67 162,67 1152,51695 1150,89025 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-09 7,168 7,158 162,86 162,86 1167,38048 1165,75188 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-10 7,178 7,168 162,51 162,51 1166,49678 1164,87168 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-11 7,15 7,14 161,36 161,36 1153,724 1152,1104 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-12 7,243 7,233 161,41 161,41 1169,09263 1167,47853 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-13 7,265 7,255 161,46 161,46 1173,0069 1171,3923 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-17 7,313 7,303 160,48 160,48 1173,59024 1171,98544 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-18 7,3 7,29 160,74 160,74 1173,402 1171,7946 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-19 7,26 7,25 162,71 162,71 1181,2746 1179,6475 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-20 7,28 7,27 162,64 162,64 1184,0192 1182,3928 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-24 7,295 7,285 161,91 161,91 1181,13345 1179,51435 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-25 7,298 7,288 160,63 160,63 1172,27774 1170,67144 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-26 7,33 7,32 160,85 160,85 1179,0305 1177,422 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-27 7,338 7,328 162,99 162,99 1196,02062 1194,39072 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-30 7,338 7,328 163,33 163,33 1198,51554 1196,88224 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-05-31 7,403 7,393 163,22 163,22 1208,31766 1206,68546 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-01 7,428 7,418 162,65 162,65 1208,1642 1206,5377 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-02 7,473 7,463 162,91 162,91 1217,42643 1215,79733 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-03 7,438 7,428 163,9 163,9 1219,0882 1217,4492 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-07 7,448 7,438 164,42 164,42 1224,60016 1222,95596 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-08 7,435 7,425 165,19 165,19 1228,18765 1226,53575 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-09 7,523 7,513 165,48 165,48 1244,90604 1243,25124 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-10 7,525 7,515 166,37 166,37 1251,93425 1250,27055 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-13 7,643 7,633 166,37 166,37 1271,56591 1269,90221 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-14 7,663 7,653 165,83 165,83 1270,75529 1269,09699 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-15 7,693 7,683 167,09 167,09 1285,42337 1283,75247 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-16 7,678 7,668 167,38 167,38 1285,14364 1283,46984 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-17 7,643 7,633 168,03 168,03 1284,25329 1282,57299 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-20 7,543 7,533 168 168 1267,224 1265,544 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-21 7,648 7,638 167,69 167,69 1282,49312 1280,81622 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-22 7,608 7,598 169,48 169,48 1289,40384 1287,70904 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-23 7,73 7,72 169,93 169,93 1313,5589 1311,8596 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-27 7,73 7,72 167,44 167,44 1294,3112 1292,6368 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-28 7,76 7,75 167 167 1295,92 1294,25 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-29 7,833 7,823 166,8 166,8 1306,5444 1304,8764 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-06-30 7,823 7,813 166,81 166,81 1304,95463 1303,28653 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-04 7,945 7,935 167,96 167,96 1334,4422 1332,7626 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-05 7,963 7,953 166,51 166,51 1325,91913 1324,25403 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-06 7,895 7,885 166,96 166,96 1318,1492 1316,4796 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-07 7,878 7,868 166,27 166,27 1309,87506 1308,21236 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-08 7,913 7,903 165,95 165,95 1313,16235 1311,50285 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-11 7,89 7,88 169,15 169,15 1334,5935 1332,902 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-12 7,77 7,76 171,1 171,1 1329,447 1327,736 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-13 7,703 7,693 171,7 171,7 1322,6051 1320,8881 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-14 7,76 7,75 173,25 173,25 1344,42 1342,6875 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-15 7,76 7,75 172,72 172,72 1340,3072 1338,58 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-18 7,78 7,77 173,29 173,29 1348,1962 1346,4633 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-19 7,878 7,868 174,63 174,63 1375,73514 1373,98884 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-20 7,818 7,808 175,27 175,27 1370,26086 1368,50816 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-21 7,775 7,765 177,76 177,76 1382,084 1380,3064 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-22 7,758 7,748 178,12 178,12 1381,85496 1380,07376 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-25 7,838 7,828 178,51 178,51 1399,16138 1397,37628 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-26 7,818 7,808 177,37 177,37 1386,67866 1384,90496 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-27 7,905 7,895 177,89 177,89 1406,22045 1404,44155 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-28 7,848 7,838 179,43 179,43 1408,16664 1406,37234 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-07-29 7,748 7,738 180,19 180,19 1396,11212 1394,31022 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-01 7,72 7,71 181,1 181,1 1398,092 1396,281 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-02 7,7 7,69 182,44 182,44 1404,788 1402,9636 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-03 7,685 7,675 183,56 183,56 1410,6586 1408,823 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-04 7,618 7,608 183,78 183,78 1400,03604 1398,19824 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-05 7,548 7,538 181,8 181,8 1372,2264 1370,4084 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-08 7,558 7,548 181 181 1367,998 1366,188 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-10 7,558 7,548 182,23 182,23 1377,29434 1375,47204 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-11 7,523 7,513 182,68 182,68 1374,30164 1372,47484 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-12 7,46 7,45 182,75 182,75 1363,315 1361,4875 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-16 7,523 7,513 180,96 180,96 1361,36208 1359,55248 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-17 7,605 7,595 180,38 180,38 1371,7899 1369,9861 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-18 7,61 7,6 177,8 177,8 1353,058 1351,28 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-19 7,698 7,688 176,92 176,92 1361,93016 1360,16096 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-22 7,69 7,68 179,19 179,19 1377,9711 1376,1792 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-23 7,663 7,653 178,3 178,3 1366,3129 1364,5299 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-24 7,673 7,663 176,24 176,24 1352,28952 1350,52712 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-25 7,588 7,578 176,19 176,19 1336,92972 1335,16782 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-26 7,578 7,568 176,52 176,52 1337,66856 1335,90336 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-29 7,573 7,563 173,93 173,93 1317,17189 1315,43259 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-30 7,633 7,623 174,29 174,29 1330,35557 1328,61267 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-08-31 7,668 7,658 175,03 175,03 1342,13004 1340,37974 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-01 7,568 7,558 177,21 177,21 1341,12528 1339,35318 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-02 7,435 7,425 178,98 178,98 1330,7163 1328,9265 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-05 7,41 7,4 179,16 179,16 1327,5756 1325,784 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-06 7,485 7,475 179,64 179,64 1344,6054 1342,809 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-07 7,43 7,42 180,52 180,52 1341,2636 1339,4584 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-08 7,498 7,488 180,63 180,63 1354,36374 1352,55744 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-09 7,523 7,513 180,67 180,67 1359,18041 1357,37371 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-12 7,555 7,545 181,81 181,81 1373,57455 1371,75645 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-13 7,57 7,56 181,3 181,3 1372,441 1370,628 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-14 7,61 7,6 181,61 181,61 1382,0521 1380,236 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-15 7,658 7,648 180,96 180,96 1385,79168 1383,98208 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-16 7,613 7,603 180,56 180,56 1374,60328 1372,79768 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-20 7,688 7,678 182,18 182,18 1400,59984 1398,77804 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-21 7,663 7,653 181,8 181,8 1393,1334 1391,3154 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-22 7,648 7,638 180,67 180,67 1381,76416 1379,95746 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-23 7,733 7,723 178,22 178,22 1378,17526 1376,39306 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-26 7,798 7,788 180,07 180,07 1404,18586 1402,38516 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-27 7,825 7,815 179,98 179,98 1408,3435 1406,5437 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-28 7,81 7,8 180,71 180,71 1411,3451 1409,538 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-29 7,785 7,775 182,1 182,1 1417,6485 1415,8275 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-09-30 7,785 7,775 182,44 182,44 1420,2954 1418,471 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-04 7,82 7,81 183,86 183,86 1437,7852 1435,9466 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-05 7,795 7,785 182,92 182,92 1425,8614 1424,0322 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-06 7,713 7,703 179,61 179,61 1385,33193 1383,53583 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-07 7,683 7,673 179,85 179,85 1381,78755 1379,98905 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-12 7,805 7,795 178,72 178,72 1394,9096 1393,1224 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-13 7,83 7,82 176,37 176,37 1380,9771 1379,2134 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-14 7,833 7,823 175,55 175,55 1375,08315 1373,32765 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-17 7,835 7,825 174,12 174,12 1364,2302 1362,489 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-18 7,893 7,883 174,39 174,39 1376,46027 1374,71637 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-19 7,96 7,95 170,36 170,36 1356,0656 1354,362 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-20 7,93 7,92 170,83 170,83 1354,6819 1352,9736 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-21 7,883 7,873 172,02 172,02 1356,03366 1354,31346 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-24 7,995 7,985 170,87 170,87 1366,10565 1364,39695 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-25 7,99 7,98 171,32 171,32 1368,8468 1367,1336 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-26 7,868 7,858 171,76 171,76 1351,40768 1349,69008 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-27 7,868 7,858 170,45 170,45 1341,1006 1339,3961 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-28 7,825 7,815 168,67 168,67 1319,84275 1318,15605 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-10-31 7,905 7,895 170,82 170,82 1350,3321 1348,6239 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-01 7,963 7,953 173,46 173,46 1381,26198 1379,52738 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-02 7,98 7,97 175,57 175,57 1401,0486 1399,2929 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-03 8,01 8 176,32 176,32 1412,3232 1410,56 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-04 8,028 8,018 176,64 176,64 1418,06592 1416,29952 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-07 8,135 8,125 175,31 175,31 1426,14685 1424,39375 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-08 8,17 8,16 175,55 175,55 1434,2435 1432,488 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-09 8,12 8,11 176,56 176,56 1433,6672 1431,9016 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-10 8,173 8,163 176,54 176,54 1442,86142 1441,09602 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-11 8,235 8,225 178,49 178,49 1469,86515 1468,08025 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-14 8,133 8,123 178,52 178,52 1451,90316 1450,11796 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-15 8,185 8,175 178,02 178,02 1457,0937 1455,3135 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-16 8,21 8,2 178,39 178,39 1464,5819 1462,798 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-17 8,258 8,248 178,61 178,61 1474,96138 1473,17528 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-18 8,223 8,213 180,23 180,23 1482,03129 1480,22899 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-21 8,123 8,113 180,11 180,11 1463,03353 1461,23243 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-22 8,15 8,14 178,49 178,49 1454,6935 1452,9086 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-23 8,048 8,038 181,71 181,71 1462,40208 1460,58498 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-24 8,053 8,043 182,05 182,05 1466,04865 1464,22815 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-25 8,078 8,068 181,52 181,52 1466,31856 1464,50336 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-28 8,118 8,108 181,99 181,99 1477,39482 1475,57492 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-29 8,015 8,005 181,42 181,42 1454,0813 1452,2671 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-11-30 8,088 8,078 182,35 182,35 1474,8468 1473,0233 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-01 8,083 8,073 182,9 182,9 1478,3807 1476,5517 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-02 8,103 8,093 183,77 183,77 1489,08831 1487,25061 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-05 8,045 8,035 184,49 184,49 1484,22205 1482,37715 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-06 7,993 7,983 184,29 184,29 1473,02997 1471,18707 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-07 8,015 8,005 185,77 185,77 1488,94655 1487,08885 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-08 7,988 7,978 185,01 185,01 1477,85988 1476,00978 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-12 7,953 7,943 186,09 186,09 1479,97377 1478,11287 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-13 7,905 7,895 187,69 187,69 1483,68945 1481,81255 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-14 7,848 7,838 187,71 187,71 1473,14808 1471,27098 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-15 7,858 7,848 187,98 187,98 1477,14684 1475,26704 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-16 7,903 7,893 187,35 187,35 1480,62705 1478,75355 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-19 7,865 7,855 189,18 189,18 1487,9007 1486,0089 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-20 7,848 7,838 189,51 189,51 1487,27448 1485,37938 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-21 7,948 7,938 190,11 190,11 1510,99428 1509,09318 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-22 7,98 7,97 189,52 189,52 1512,3696 1510,4744 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-23 7,955 7,945 191,19 191,19 1520,91645 1519,00455 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-28 7,915 7,905 191,62 191,62 1516,6723 1514,7561 817197 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Asia Diversified Fund USD 2005-12-29 7,938 7,928 192,63 192,63 1529,09694 1527,17064 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-04 9,0345 9,0295 147,37 147,37 1331,414265 1330,677415 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-05 9,0615 9,0565 147,18 147,18 1333,67157 1332,93567 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-07 9,0615 9,0565 147,96 147,96 1340,73954 1339,99974 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-10 9,08619 9,08119 147,98 147,98 1344,5743962 1343,8344962 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-11 9,08619 9,08119 147,96 147,96 1344,3926724 1343,6528724 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-12 9,0455 9,0405 147,91 147,91 1337,919905 1337,180355 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-13 9,0505 9,0455 148,26 148,26 1341,82713 1341,08583 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-14 9,0455 9,0405 148,36 148,36 1341,99038 1341,24858 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-17 9,0685 9,0635 148,6 148,6 1347,5791 1346,8361 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-18 9,0585 9,0535 148,48 148,48 1345,00608 1344,26368 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-19 9,0225 9,0175 148,84 148,84 1342,9089 1342,1647 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-20 9,0315 9,0265 148,43 148,43 1340,545545 1339,803395 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-21 9,0505 9,0455 148,39 148,39 1343,003695 1342,261745 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-24 9,0655 9,0605 148,67 148,67 1347,767885 1347,024535 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-25 9,0715 9,0665 148,93 148,93 1351,018495 1350,273845 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-26 9,0885 9,0835 148,62 148,62 1350,73287 1349,98977 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-27 9,0675 9,0625 148,4 148,4 1345,617 1344,875 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-28 9,0955 9,0905 148,72 148,72 1352,68276 1351,93916 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-01-31 9,1075 9,1025 148,77 148,77 1354,922775 1354,178925 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-01 9,1035 9,0985 148,98 148,98 1356,23943 1355,49453 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-02 9,0905 9,0855 148,95 148,95 1354,029975 1353,285225 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-03 9,0695 9,0645 148,89 148,89 1350,357855 1349,613405 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-04 9,0895 9,0845 149,28 149,28 1356,88056 1356,13416 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-07 9,0755 9,0705 149,6 149,6 1357,6948 1356,9468 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-08 9,0895 9,0845 149,51 149,51 1358,971145 1358,223595 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-09 9,0695 9,0645 149,84 149,84 1358,97388 1358,22468 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-10 9,0805 9,0755 149,97 149,97 1361,802585 1361,052735 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-11 9,0935 9,0885 149,66 149,66 1360,93321 1360,18491 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-14 9,1105 9,1055 149,44 149,44 1361,47312 1360,72592 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-15 9,0765 9,0715 149,35 149,35 1355,575275 1354,828525 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-16 9,0705 9,0655 149,39 149,39 1355,041995 1354,295045 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-17 9,0925 9,0875 148,71 148,71 1352,145675 1351,402125 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-18 9,0945 9,0895 148,11 148,11 1346,986395 1346,245845 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-21 9,1185 9,1135 148,03 148,03 1349,811555 1349,071405 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-22 9,0975 9,0925 147,96 147,96 1346,0661 1345,3263 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-23 9,1045 9,0995 148,08 148,08 1348,19436 1347,45396 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-24 9,0715 9,0665 147,9 147,9 1341,67485 1340,93535 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-25 9,0845 9,0795 147,68 147,68 1341,59896 1340,86056 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-02-28 9,0505 9,0455 147,89 147,89 1338,478445 1337,738995 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-01 9,0565 9,0515 147,7 147,7 1337,64505 1336,90655 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-02 9,0645 9,0595 147,25 147,25 1334,747625 1334,011375 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-03 9,0675 9,0625 147,45 147,45 1337,002875 1336,265625 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-04 9,0415 9,0365 147,91 147,91 1337,328265 1336,588715 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-07 9,0425 9,0375 148,28 148,28 1340,8219 1340,0805 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-08 9,0345 9,0295 148,07 148,07 1337,738415 1336,998065 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-09 9,0365 9,0315 147,55 147,55 1333,335575 1332,597825 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-10 9,0655 9,0605 147,59 147,59 1337,977145 1337,239195 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-11 9,0795 9,0745 147,46 147,46 1338,86307 1338,12577 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-14 9,0695 9,0645 147,44 147,44 1337,20708 1336,46988 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-15 9,1035 9,0985 147,89 147,89 1346,316615 1345,577165 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-16 9,0975 9,0925 147,96 147,96 1346,0661 1345,3263 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-17 9,1045 9,0995 148,23 148,23 1349,560035 1348,818885 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-18 9,1035 9,0985 147,86 147,86 1346,04351 1345,30421 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-21 9,1265 9,1215 147,84 147,84 1349,26176 1348,52256 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-22 9,1265 9,1215 148,13 148,13 1351,908445 1351,167795 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-23 9,1165 9,1115 147,85 147,85 1347,874525 1347,135275 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-24 9,1135 9,1085 148,03 148,03 1349,071405 1348,331255 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-29 9,1315 9,1265 148,02 148,02 1351,64463 1350,90453 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-30 9,1425 9,1375 148,13 148,13 1354,278525 1353,537875 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-03-31 9,1405 9,1355 148,57 148,57 1358,004085 1357,261235 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-01 9,1645 9,1595 148,88 148,88 1364,41076 1363,66636 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-04 9,1695 9,1645 148,92 148,92 1365,52194 1364,77734 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-05 9,1745 9,1695 149 149 1367,0005 1366,2555 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-06 9,1705 9,1655 148,93 148,93 1365,762565 1365,017915 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-07 9,1505 9,1455 149,07 149,07 1364,065035 1363,319685 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-08 9,1625 9,1575 148,87 148,87 1364,021375 1363,277025 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-11 9,1705 9,1655 149,05 149,05 1366,863025 1366,117775 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-12 9,1525 9,1475 149,14 149,14 1365,00385 1364,25815 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-13 9,1495 9,1445 149,33 149,33 1366,294835 1365,548185 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-14 9,1685 9,1635 149,24 149,24 1368,30694 1367,56074 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-15 9,1925 9,1875 149,56 149,56 1374,8303 1374,0825 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-18 9,1805 9,1755 149,82 149,82 1375,42251 1374,67341 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-19 9,2035 9,1985 149,91 149,91 1379,696685 1378,947135 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-20 9,1915 9,1865 149,92 149,92 1377,98968 1377,24008 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-21 9,1855 9,1805 149,76 149,76 1375,62048 1374,87168 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-22 9,1625 9,1575 149,95 149,95 1373,916875 1373,167125 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-25 9,1685 9,1635 150,1 150,1 1376,19185 1375,44135 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-26 9,1375 9,1325 150,27 150,27 1373,092125 1372,340775 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-27 9,1465 9,1415 150,52 150,52 1376,73118 1375,97858 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-28 9,1505 9,1455 150,56 150,56 1377,69928 1376,94648 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-04-29 9,1705 9,1655 150,35 150,35 1378,784675 1378,032925 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-03 9,2245 9,2195 150,84 150,84 1391,42358 1390,66938 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-04 9,1915 9,1865 150,51 150,51 1383,412665 1382,660115 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-06 9,1715 9,1665 150,36 150,36 1379,02674 1378,27494 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-09 9,1815 9,1765 150,44 150,44 1381,26486 1380,51266 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-10 9,1985 9,1935 151,06 151,06 1389,52541 1388,77011 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-11 9,2105 9,2055 151,29 151,29 1393,456545 1392,700095 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-12 9,2315 9,2265 151,29 151,29 1396,633635 1395,877185 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-13 9,2045 9,1995 151,55 151,55 1394,941975 1394,184225 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-16 9,2145 9,2095 151,52 151,52 1396,18104 1395,42344 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-17 9,2325 9,2275 151,42 151,42 1397,98515 1397,22805 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-18 9,2095 9,2045 151,76 151,76 1397,63372 1396,87492 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-19 9,1905 9,1855 151,71 151,71 1394,290755 1393,532205 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-20 9,1955 9,1905 151,39 151,39 1392,106745 1391,349795 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-23 9,1805 9,1755 151,59 151,59 1391,671995 1390,914045 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-24 9,1815 9,1765 151,96 151,96 1395,22074 1394,46094 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-25 9,1785 9,1735 151,96 151,96 1394,76486 1394,00506 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-26 9,1945 9,1895 151,67 151,67 1394,529815 1393,771465 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-27 9,1955 9,1905 151,52 151,52 1393,30216 1392,54456 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-05-31 9,1665 9,1615 152 152 1393,308 1392,548 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-01 9,1455 9,1405 152,17 152,17 1391,670735 1390,909885 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-02 9,1565 9,1515 152,37 152,37 1395,175905 1394,414055 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-03 9,1315 9,1265 152,97 152,97 1396,845555 1396,080705 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-07 9,1455 9,1405 153,31 153,31 1402,096605 1401,330055 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-08 9,1455 9,1405 153,6 153,6 1404,7488 1403,9808 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-09 9,1965 9,1915 153,43 153,43 1411,018995 1410,251845 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-10 9,1975 9,1925 153,11 153,11 1408,229225 1407,463675 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-13 9,2365 9,2315 153,11 153,11 1414,200515 1413,434965 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-14 9,2985 9,2935 152,99 152,99 1422,577515 1421,812565 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-15 9,2695 9,2645 152,19 152,19 1410,725205 1409,964255 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-16 9,2695 9,2645 151,85 151,85 1407,573575 1406,814325 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-17 9,2695 9,2645 152,13 152,13 1410,169035 1409,408385 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-20 9,2255 9,2205 152,13 152,13 1403,475315 1402,714665 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-21 9,2725 9,2675 153,01 153,01 1418,785225 1418,020175 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-22 9,2615 9,2565 153,66 153,66 1423,12209 1422,35379 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-23 9,3535 9,3485 153,56 153,56 1436,32346 1435,55566 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-27 9,3855 9,3805 153,91 153,91 1444,522305 1443,752755 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-28 9,3995 9,3945 153,54 153,54 1443,19923 1442,43153 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-29 9,4215 9,4165 153,68 153,68 1447,89612 1447,12772 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-06-30 9,4415 9,4365 153,55 153,55 1449,742325 1448,974575 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-01 9,4595 9,4545 153,71 153,71 1454,019745 1453,251195 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-04 9,4795 9,4745 153,35 153,35 1453,681325 1452,914575 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-05 9,4575 9,4525 152,92 152,92 1446,2409 1445,4763 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-06 9,4195 9,4145 152,93 152,93 1440,524135 1439,759485 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-07 9,3965 9,3915 153,2 153,2 1439,5438 1438,7778 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-08 9,4175 9,4125 153,32 153,32 1443,8911 1443,1245 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-11 9,4665 9,4615 152,96 152,96 1447,99584 1447,23104 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-12 9,4645 9,4595 152,81 152,81 1446,270245 1445,506195 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-13 9,3915 9,3865 152,61 152,61 1433,236815 1432,473765 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-14 9,3675 9,3625 152,26 152,26 1426,29555 1425,53425 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-15 9,4055 9,4005 152,24 152,24 1431,89332 1431,13212 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-18 9,3895 9,3845 152,61 152,61 1432,931595 1432,168545 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-19 9,4425 9,4375 152,45 152,45 1439,509125 1438,746875 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-20 9,4265 9,4215 152,4 152,4 1436,5986 1435,8366 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-21 9,4625 9,4575 152,48 152,48 1442,842 1442,0796 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-22 9,4495 9,4445 152,81 152,81 1443,978095 1443,214045 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-25 9,4275 9,4225 153 153 1442,4075 1441,6425 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-26 9,4155 9,4105 152,75 152,75 1438,217625 1437,453875 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-27 9,4725 9,4675 153,02 153,02 1449,48195 1448,71685 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-28 9,4515 9,4465 152,9 152,9 1445,13435 1444,36985 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-07-29 9,3885 9,3835 152,99 152,99 1436,346615 1435,581665 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-01 9,3985 9,3935 152,48 152,48 1433,08328 1432,32088 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-02 9,3995 9,3945 152,21 152,21 1430,697895 1429,936845 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-03 9,3755 9,3705 152,17 152,17 1426,669835 1425,908985 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-04 9,3735 9,3685 152,27 152,27 1427,302845 1426,541495 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-05 9,3355 9,3305 151,87 151,87 1417,782385 1417,023035 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-08 9,3335 9,3285 151,92 151,92 1417,94532 1417,18572 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-09 9,3455 9,3405 152,05 152,05 1420,983275 1420,223025 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-10 9,3535 9,3485 152,2 152,2 1423,6027 1422,8417 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-11 9,3365 9,3315 152,22 152,22 1421,20203 1420,44093 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-12 9,3025 9,2975 152,5 152,5 1418,63125 1417,86875 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-15 9,3065 9,3015 152,81 152,81 1422,126265 1421,362215 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-16 9,2995 9,2945 153,01 153,01 1422,916495 1422,151445 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-17 9,3405 9,3355 153,19 153,19 1430,871195 1430,105245 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-18 9,3365 9,3315 153,32 153,32 1431,47218 1430,70558 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-19 9,3395 9,3345 153,4 153,4 1432,6793 1431,9123 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-22 9,3655 9,3605 153,33 153,33 1436,012115 1435,245465 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-23 9,3715 9,3665 153,49 153,49 1438,431535 1437,664085 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-24 9,3365 9,3315 153,69 153,69 1434,926685 1434,158235 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-25 9,3335 9,3285 153,84 153,84 1435,86564 1435,09644 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-26 9,3415 9,3365 153,85 153,85 1437,189775 1436,420525 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-30 9,3285 9,3235 153,73 153,73 1434,070305 1433,301655 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-08-31 9,3585 9,3535 153,96 153,96 1440,83466 1440,06486 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-01 9,3365 9,3315 154,36 154,36 1441,18214 1440,41034 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-02 9,3025 9,2975 154,51 154,51 1437,329275 1436,556725 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-05 9,2845 9,2795 154,67 154,67 1436,033615 1435,260265 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-06 9,3225 9,3175 154,5 154,5 1440,32625 1439,55375 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-07 9,3075 9,3025 154,31 154,31 1436,240325 1435,468775 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-08 9,3255 9,3205 154,45 154,45 1440,323475 1439,551225 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-09 9,3445 9,3395 154,61 154,61 1444,753145 1443,980095 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-12 9,3015 9,2965 153,96 153,96 1432,05894 1431,28914 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-13 9,3015 9,2965 153,94 153,94 1431,87291 1431,10321 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-14 9,3365 9,3315 154,29 154,29 1440,528585 1439,757135 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-15 9,3425 9,3375 153,93 153,93 1438,091025 1437,321375 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-16 9,3465 9,3415 153,74 153,74 1436,93091 1436,16221 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-19 9,3355 9,3305 153,91 153,91 1436,826805 1436,057255 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-20 9,3395 9,3345 154,33 154,33 1441,365035 1440,593385 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-21 9,3405 9,3355 154,77 154,77 1445,629185 1444,855335 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-22 9,3405 9,3355 154,81 154,81 1446,002805 1445,228755 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-23 9,3695 9,3645 154,53 154,53 1447,868835 1447,096185 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-26 9,3815 9,3765 153,81 153,81 1442,968515 1442,199465 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-27 9,3885 9,3835 153,91 153,91 1444,984035 1444,214485 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-28 9,3935 9,3885 153,71 153,71 1443,874885 1443,106335 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-29 9,3845 9,3795 153,77 153,77 1443,054565 1442,285715 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-09-30 9,3435 9,3385 153,85 153,85 1437,497475 1436,728225 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-03 9,3025 9,2975 153,56 153,56 1428,4919 1427,7241 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-04 9,3185 9,3135 153,65 153,65 1431,787525 1431,019275 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-05 9,3105 9,3055 153,69 153,69 1430,930745 1430,162295 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-06 9,3015 9,2965 153,6 153,6 1428,7104 1427,9424 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-07 9,3385 9,3335 153,48 153,48 1433,27298 1432,50558 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-10 9,3465 9,3415 153,74 153,74 1436,93091 1436,16221 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-11 9,3395 9,3345 153,63 153,63 1434,827385 1434,059235 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-12 9,3375 9,3325 153,37 153,37 1432,092375 1431,325525 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-13 9,3815 9,3765 152,86 152,86 1434,05609 1433,29179 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-14 9,4135 9,4085 152,89 152,89 1439,230015 1438,465565 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-17 9,4575 9,4525 152,77 152,77 1444,822275 1444,058425 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-18 9,4625 9,4575 152,71 152,71 1445,018375 1444,254825 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-19 9,4605 9,4555 152,99 152,99 1447,361895 1446,596945 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-20 9,4935 9,4885 152,61 152,61 1448,803035 1448,039985 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-21 9,4915 9,4865 153,21 153,21 1454,192715 1453,426665 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-24 9,5455 9,5405 153,28 153,28 1463,13424 1462,36784 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-25 9,5465 9,5415 152,76 152,76 1458,32334 1457,55954 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-26 9,4975 9,4925 151,97 151,97 1443,335075 1442,575225 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-27 9,5355 9,5305 151,95 151,95 1448,919225 1448,159475 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-28 9,5135 9,5085 151,87 151,87 1444,815245 1444,055895 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-10-31 9,5495 9,5445 151,81 151,81 1449,709595 1448,950545 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-01 9,5495 9,5445 151,87 151,87 1450,282565 1449,523215 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-02 9,5855 9,5805 151,36 151,36 1450,86128 1450,10448 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-03 9,6515 9,6465 151,47 151,47 1461,912705 1461,155355 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-04 9,5875 9,5825 151,43 151,43 1451,835125 1451,077975 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-07 9,6075 9,6025 151,18 151,18 1452,46185 1451,70595 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-08 9,5685 9,5635 151,37 151,37 1448,383845 1447,626995 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-09 9,5575 9,5525 151,09 151,09 1444,042675 1443,287225 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-10 9,6105 9,6055 150,94 150,94 1450,60887 1449,85417 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-11 9,6365 9,6315 151,11 151,11 1456,171515 1455,415965 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-14 9,5505 9,5455 151,24 151,24 1444,41762 1443,66142 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-15 9,5805 9,5755 150,91 150,91 1445,793255 1445,038705 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-16 9,6235 9,6185 151,72 151,72 1460,07742 1459,31882 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-17 9,6355 9,6305 151,47 151,47 1459,489185 1458,731835 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-18 9,6085 9,6035 150,91 150,91 1450,018735 1449,264185 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-21 9,5915 9,5865 150,99 150,99 1448,220585 1447,465635 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-22 9,5585 9,5535 151,24 151,24 1445,62754 1444,87134 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-23 9,5155 9,5105 151,52 151,52 1441,78856 1441,03096 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-24 9,5125 9,5075 152,14 152,14 1447,23175 1446,47105 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-25 9,4965 9,4915 152,06 152,06 1444,03779 1443,27749 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-28 9,4835 9,4785 151,93 151,93 1440,828155 1440,068505 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-29 9,4785 9,4735 152,05 152,05 1441,205925 1440,445675 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-11-30 9,5295 9,5245 151,7 151,7 1445,62515 1444,86665 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-01 9,5165 9,5115 152,31 152,31 1449,458115 1448,696565 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-02 9,4905 9,4855 152,11 152,11 1443,599955 1442,839405 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-05 9,4065 9,4015 152,17 152,17 1431,387105 1430,626255 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-06 9,4185 9,4135 152,32 152,32 1434,62592 1433,86432 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-07 9,4255 9,4205 152,43 152,43 1436,728965 1435,966815 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-08 9,3965 9,3915 152,38 152,38 1431,83867 1431,07677 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-12 9,4315 9,4265 152,09 152,09 1434,436835 1433,676385 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-13 9,4295 9,4245 152,24 152,24 1435,54708 1434,78588 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-14 9,4365 9,4315 152,47 152,47 1438,783155 1438,020805 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-15 9,4345 9,4295 152,47 152,47 1438,478215 1437,715865 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-16 9,4765 9,4715 152,68 152,68 1446,87202 1446,10862 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-19 9,4535 9,4485 152,68 152,68 1443,36038 1442,59698 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-20 9,4015 9,3965 152,58 152,58 1434,48087 1433,71797 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-21 9,4485 9,4435 152,36 152,36 1439,57346 1438,81166 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-22 9,4365 9,4315 152,4 152,4 1438,1226 1437,3606 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-23 9,4425 9,4375 152,55 152,55 1440,453375 1439,690625 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-28 9,4345 9,4295 153,03 153,03 1443,761535 1442,996385 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-29 9,4115 9,4065 152,97 152,97 1439,677155 1438,912305 203836 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Bond Fund EUR 2005-12-30 9,4325 9,4275 153,26 153,26 1445,62495 1444,85865 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-04 9,0345 9,0295 112,86 112,86 1019,63367 1019,06937 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-05 9,0615 9,0565 112,73 112,73 1021,502895 1020,939245 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-07 9,0615 9,0565 113,44 113,44 1027,93656 1027,36936 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-10 9,08619 9,08119 113,28 113,28 1029,2836032 1028,7172032 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-11 9,08619 9,08119 112,43 112,43 1021,5603417 1020,9981917 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-12 9,0455 9,0405 111,53 111,53 1008,844615 1008,286965 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-13 9,0505 9,0455 111,63 111,63 1010,307315 1009,749165 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-14 9,0455 9,0405 112,29 112,29 1015,719195 1015,157745 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-17 9,0685 9,0635 112,52 112,52 1020,38762 1019,82502 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-18 9,0585 9,0535 112,45 112,45 1018,628325 1018,066075 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-19 9,0225 9,0175 113,07 113,07 1020,174075 1019,608725 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-20 9,0315 9,0265 112,11 112,11 1012,521465 1011,960915 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-21 9,0505 9,0455 111,97 111,97 1013,384485 1012,824635 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-24 9,0655 9,0605 111,85 111,85 1013,976175 1013,416925 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-25 9,0715 9,0665 112,71 112,71 1022,448765 1021,885215 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-26 9,0885 9,0835 113,23 113,23 1029,090855 1028,524705 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-27 9,0675 9,0625 113,21 113,21 1026,531675 1025,965625 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-28 9,0955 9,0905 113,29 113,29 1030,429195 1029,862745 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-01-31 9,1075 9,1025 113,78 113,78 1036,25135 1035,68245 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-01 9,1035 9,0985 114,18 114,18 1039,43763 1038,86673 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-02 9,0905 9,0855 114,7 114,7 1042,68035 1042,10685 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-03 9,0695 9,0645 114,51 114,51 1038,548445 1037,975895 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-04 9,0895 9,0845 115,59 115,59 1050,655305 1050,077355 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-07 9,0755 9,0705 116,53 116,53 1057,568015 1056,985365 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-08 9,0895 9,0845 116,58 116,58 1059,65391 1059,07101 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-09 9,0695 9,0645 116,9 116,9 1060,22455 1059,64005 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-10 9,0805 9,0755 116,87 116,87 1061,238035 1060,653685 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-11 9,0935 9,0885 117,08 117,08 1064,66698 1064,08158 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-14 9,1105 9,1055 117,75 117,75 1072,761375 1072,172625 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-15 9,0765 9,0715 117,97 117,97 1070,754705 1070,164855 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-16 9,0705 9,0655 117,45 117,45 1065,330225 1064,742975 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-17 9,0925 9,0875 117,98 117,98 1072,73315 1072,14325 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-18 9,0945 9,0895 117,65 117,65 1069,967925 1069,379675 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-21 9,1185 9,1135 118,04 118,04 1076,34774 1075,75754 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-22 9,0975 9,0925 116,96 116,96 1064,0436 1063,4588 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-23 9,1045 9,0995 116,36 116,36 1059,39962 1058,81782 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-24 9,0715 9,0665 116,38 116,38 1055,74117 1055,15927 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-25 9,0845 9,0795 117,25 117,25 1065,157625 1064,571375 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-02-28 9,0505 9,0455 117,7 117,7 1065,24385 1064,65535 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-01 9,0565 9,0515 117,91 117,91 1067,851915 1067,262365 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-02 9,0645 9,0595 118 118 1069,611 1069,021 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-03 9,0675 9,0625 118,86 118,86 1077,76305 1077,16875 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-04 9,0415 9,0365 119,27 119,27 1078,379705 1077,783355 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-07 9,0425 9,0375 118,98 118,98 1075,87665 1075,28175 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-08 9,0345 9,0295 118,51 118,51 1070,678595 1070,086045 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-09 9,0365 9,0315 117,77 117,77 1064,228605 1063,639755 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-10 9,0655 9,0605 117,09 117,09 1061,479395 1060,893945 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-11 9,0795 9,0745 117,4 117,4 1065,9333 1065,3463 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-14 9,0695 9,0645 116,76 116,76 1058,95482 1058,37102 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-15 9,1035 9,0985 118,04 118,04 1074,57714 1073,98694 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-16 9,0975 9,0925 116,63 116,63 1061,041425 1060,458275 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-17 9,1045 9,0995 116,13 116,13 1057,305585 1056,724935 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-18 9,1035 9,0985 116,52 116,52 1060,73982 1060,15722 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-21 9,1265 9,1215 116,74 116,74 1065,42761 1064,84391 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-22 9,1265 9,1215 116,32 116,32 1061,59448 1061,01288 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-23 9,1165 9,1115 115,76 115,76 1055,32604 1054,74724 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-24 9,1135 9,1085 116,61 116,61 1062,725235 1062,142185 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-29 9,1315 9,1265 116,75 116,75 1066,102625 1065,518875 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-30 9,1425 9,1375 116,35 116,35 1063,729875 1063,148125 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-03-31 9,1405 9,1355 116,82 116,82 1067,79321 1067,20911 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-01 9,1645 9,1595 117,25 117,25 1074,537625 1073,951375 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-04 9,1695 9,1645 116,21 116,21 1065,587595 1065,006545 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-05 9,1745 9,1695 117,25 117,25 1075,710125 1075,123875 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-06 9,1705 9,1655 117,32 117,32 1075,88306 1075,29646 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-07 9,1505 9,1455 117,72 117,72 1077,19686 1076,60826 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-08 9,1625 9,1575 118,37 118,37 1084,565125 1083,973275 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-11 9,1705 9,1655 117,96 117,96 1081,75218 1081,16238 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-12 9,1525 9,1475 117,59 117,59 1076,242475 1075,654525 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-13 9,1495 9,1445 117,94 117,94 1079,09203 1078,50233 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-14 9,1685 9,1635 118,25 118,25 1084,175125 1083,583875 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-15 9,1925 9,1875 116,92 116,92 1074,7871 1074,2025 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-18 9,1805 9,1755 114,46 114,46 1050,80003 1050,22773 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-19 9,2035 9,1985 115,36 115,36 1061,71576 1061,13896 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-20 9,1915 9,1865 114,3 114,3 1050,58845 1050,01695 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-21 9,1855 9,1805 114,73 114,73 1053,852415 1053,278765 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-22 9,1625 9,1575 115,07 115,07 1054,328875 1053,753525 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-25 9,1685 9,1635 115,64 115,64 1060,24534 1059,66714 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-26 9,1375 9,1325 115,31 115,31 1053,645125 1053,068575 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-27 9,1465 9,1415 114,2 114,2 1044,5303 1043,9593 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-28 9,1505 9,1455 114,34 114,34 1046,26817 1045,69647 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-04-29 9,1705 9,1655 115,34 115,34 1057,72547 1057,14877 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-03 9,2245 9,2195 115,7 115,7 1067,27465 1066,69615 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-04 9,1915 9,1865 116,05 116,05 1066,673575 1066,093325 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-06 9,1715 9,1665 117,74 117,74 1079,85241 1079,26371 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-09 9,1815 9,1765 117,15 117,15 1075,612725 1075,026975 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-10 9,1985 9,1935 116,22 116,22 1069,04967 1068,46857 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-11 9,2105 9,2055 116,19 116,19 1070,167995 1069,587045 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-12 9,2315 9,2265 116,65 116,65 1076,854475 1076,271225 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-13 9,2045 9,1995 116,16 116,16 1069,19472 1068,61392 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-16 9,2145 9,2095 116,08 116,08 1069,61916 1069,03876 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-17 9,2325 9,2275 116,55 116,55 1076,047875 1075,465125 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-18 9,2095 9,2045 117,62 117,62 1083,22139 1082,63329 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-19 9,1905 9,1855 118,54 118,54 1089,44187 1088,84917 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-20 9,1955 9,1905 118,78 118,78 1092,24149 1091,64759 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-23 9,1805 9,1755 119,01 119,01 1092,571305 1091,976255 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-24 9,1815 9,1765 119 119 1092,5985 1092,0035 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-25 9,1785 9,1735 119,11 119,11 1093,251135 1092,655585 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-26 9,1945 9,1895 119,49 119,49 1098,650805 1098,053355 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-27 9,1955 9,1905 119,58 119,58 1099,59789 1098,99999 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-05-31 9,1665 9,1615 120,51 120,51 1104,654915 1104,052365 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-01 9,1455 9,1405 121,35 121,35 1109,806425 1109,199675 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-02 9,1565 9,1515 122,22 122,22 1119,10743 1118,49633 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-03 9,1315 9,1265 121,94 121,94 1113,49511 1112,88541 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-07 9,1455 9,1405 122,72 122,72 1122,33576 1121,72216 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-08 9,1455 9,1405 122,59 122,59 1121,146845 1120,533895 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-09 9,1965 9,1915 122,25 122,25 1124,272125 1123,660875 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-10 9,1975 9,1925 123,15 123,15 1132,672125 1132,056375 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-13 9,2365 9,2315 123,15 123,15 1137,474975 1136,859225 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-14 9,2985 9,2935 123,97 123,97 1152,735045 1152,115195 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-15 9,2695 9,2645 123,8 123,8 1147,5641 1146,9451 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-16 9,2695 9,2645 123,6 123,6 1145,7102 1145,0922 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-17 9,2695 9,2645 124,69 124,69 1155,813955 1155,190505 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-20 9,2255 9,2205 124,02 124,02 1144,14651 1143,52641 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-21 9,2725 9,2675 124,61 124,61 1155,446225 1154,823175 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-22 9,2615 9,2565 125,21 125,21 1159,632415 1159,006365 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-23 9,3535 9,3485 125,55 125,55 1174,331925 1173,704175 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-27 9,3855 9,3805 123,64 123,64 1160,42322 1159,80502 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-28 9,3995 9,3945 124,33 124,33 1168,639835 1168,018185 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-29 9,4215 9,4165 124,91 124,91 1176,839565 1176,215015 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-06-30 9,4415 9,4365 125,13 125,13 1181,414895 1180,789245 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-01 9,4595 9,4545 124,99 124,99 1182,342905 1181,717955 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-04 9,4795 9,4745 126,11 126,11 1195,459745 1194,829195 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-05 9,4575 9,4525 125,4 125,4 1185,9705 1185,3435 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-06 9,4195 9,4145 126,82 126,82 1194,58099 1193,94689 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-07 9,3965 9,3915 123,24 123,24 1158,02466 1157,40846 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-08 9,4175 9,4125 125,14 125,14 1178,50595 1177,88025 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-11 9,4665 9,4615 126,17 126,17 1194,388305 1193,757455 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-12 9,4645 9,4595 125,95 125,95 1192,053775 1191,424025 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-13 9,3915 9,3865 126,74 126,74 1190,27871 1189,64501 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-14 9,3675 9,3625 127,72 127,72 1196,4171 1195,7785 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-15 9,4055 9,4005 127,36 127,36 1197,88448 1197,24768 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-18 9,3895 9,3845 127,12 127,12 1193,59324 1192,95764 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-19 9,4425 9,4375 127,56 127,56 1204,4853 1203,8475 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-20 9,4265 9,4215 126,88 126,88 1196,03432 1195,39992 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-21 9,4625 9,4575 127,08 127,08 1202,4945 1201,8591 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-22 9,4495 9,4445 126,88 126,88 1198,95256 1198,31816 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-25 9,4275 9,4225 127,43 127,43 1201,346325 1200,709175 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-26 9,4155 9,4105 127,84 127,84 1203,67752 1203,03832 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-27 9,4725 9,4675 128,46 128,46 1216,83735 1216,19505 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-28 9,4515 9,4465 129,21 129,21 1221,228315 1220,582265 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-07-29 9,3885 9,3835 129,26 129,26 1213,55751 1212,91121 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-01 9,3985 9,3935 129,04 129,04 1212,78244 1212,13724 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-02 9,3995 9,3945 129,42 129,42 1216,48329 1215,83619 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-03 9,3755 9,3705 129,31 129,31 1212,345905 1211,699355 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-04 9,3735 9,3685 128,36 128,36 1203,18246 1202,54066 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-05 9,3355 9,3305 128,49 128,49 1199,518395 1198,875945 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-08 9,3335 9,3285 129,03 129,03 1204,301505 1203,656355 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-09 9,3455 9,3405 129,3 129,3 1208,37315 1207,72665 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-10 9,3535 9,3485 130,68 130,68 1222,31538 1221,66198 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-11 9,3365 9,3315 130,14 130,14 1215,05211 1214,40141 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-12 9,3025 9,2975 130 130 1209,325 1208,675 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-15 9,3065 9,3015 129,97 129,97 1209,565805 1208,915955 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-16 9,2995 9,2945 130,07 130,07 1209,585965 1208,935615 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-17 9,3405 9,3355 129,41 129,41 1208,754105 1208,107055 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-18 9,3365 9,3315 129,18 129,18 1206,08907 1205,44317 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-19 9,3395 9,3345 129,96 129,96 1213,76142 1213,11162 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-22 9,3655 9,3605 130,63 130,63 1223,415265 1222,762115 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-23 9,3715 9,3665 129,67 129,67 1215,202405 1214,554055 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-24 9,3365 9,3315 128,52 128,52 1199,92698 1199,28438 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-25 9,3335 9,3285 127,85 127,85 1193,287975 1192,648725 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-26 9,3415 9,3365 127,35 127,35 1189,640025 1189,003275 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-30 9,3285 9,3235 127,6 127,6 1190,3166 1189,6786 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-08-31 9,3585 9,3535 128,19 128,19 1199,666115 1199,025165 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-01 9,3365 9,3315 128,94 128,94 1203,84831 1203,20361 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-02 9,3025 9,2975 128,44 128,44 1194,8131 1194,1709 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-05 9,2845 9,2795 128,94 128,94 1197,14343 1196,49873 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-06 9,3225 9,3175 129,66 129,66 1208,75535 1208,10705 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-07 9,3075 9,3025 130,69 130,69 1216,397175 1215,743725 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-08 9,3255 9,3205 130,56 130,56 1217,53728 1216,88448 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-09 9,3445 9,3395 130,91 130,91 1223,288495 1222,633945 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-12 9,3015 9,2965 131,48 131,48 1222,96122 1222,30382 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-13 9,3015 9,2965 130,74 130,74 1216,07811 1215,42441 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-14 9,3365 9,3315 130,69 130,69 1220,187185 1219,533735 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-15 9,3425 9,3375 131,18 131,18 1225,54915 1224,89325 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-16 9,3465 9,3415 131,76 131,76 1231,49484 1230,83604 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-19 9,3355 9,3305 132,21 132,21 1234,246455 1233,585405 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-20 9,3395 9,3345 132,08 132,08 1233,56116 1232,90076 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-21 9,3405 9,3355 130,95 130,95 1223,138475 1222,483725 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-22 9,3405 9,3355 130,28 130,28 1216,88034 1216,22894 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-23 9,3695 9,3645 130,76 130,76 1225,15582 1224,50202 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-26 9,3815 9,3765 132,34 132,34 1241,54771 1240,88601 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-27 9,3885 9,3835 132,52 132,52 1244,16402 1243,50142 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-28 9,3935 9,3885 133,31 133,31 1252,247485 1251,580935 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-29 9,3845 9,3795 133,09 133,09 1248,983105 1248,317655 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-09-30 9,3435 9,3385 133,54 133,54 1247,73099 1247,06329 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-03 9,3025 9,2975 134,67 134,67 1252,767675 1252,094325 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-04 9,3185 9,3135 134,72 134,72 1255,38832 1254,71472 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-05 9,3105 9,3055 134,17 134,17 1249,189785 1248,518935 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-06 9,3015 9,2965 131,45 131,45 1222,682175 1222,024925 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-07 9,3385 9,3335 131,26 131,26 1225,77151 1225,11521 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-10 9,3465 9,3415 131,42 131,42 1228,31703 1227,65993 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-11 9,3395 9,3345 132,27 132,27 1235,335665 1234,674315 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-12 9,3375 9,3325 131,69 131,69 1229,655375 1228,996925 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-13 9,3815 9,3765 129,73 129,73 1217,061995 1216,413345 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-14 9,4135 9,4085 129,72 129,72 1221,11922 1220,47062 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-17 9,4575 9,4525 129,84 129,84 1227,9618 1227,3126 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-18 9,4625 9,4575 129,28 129,28 1223,312 1222,6656 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-19 9,4605 9,4555 127,53 127,53 1206,497565 1205,859915 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-20 9,4935 9,4885 128,56 128,56 1220,48436 1219,84156 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-21 9,4915 9,4865 127,31 127,31 1208,362865 1207,726315 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-24 9,5455 9,5405 128,72 128,72 1228,69676 1228,05316 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-25 9,5465 9,5415 128,57 128,57 1227,393505 1226,750655 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-26 9,4975 9,4925 128,34 128,34 1218,90915 1218,26745 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-27 9,5355 9,5305 127,38 127,38 1214,63199 1213,99509 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-28 9,5135 9,5085 127,16 127,16 1209,73666 1209,10086 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-10-31 9,5495 9,5445 129,77 129,77 1239,238615 1238,589765 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-01 9,5495 9,5445 130,2 130,2 1243,3449 1242,6939 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-02 9,5855 9,5805 130,19 130,19 1247,936245 1247,285295 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-03 9,6515 9,6465 132,78 132,78 1281,52617 1280,86227 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-04 9,5875 9,5825 133,17 133,17 1276,767375 1276,101525 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-07 9,6075 9,6025 133,49 133,49 1282,505175 1281,837725 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-08 9,5685 9,5635 133,1 133,1 1273,56735 1272,90185 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-09 9,5575 9,5525 133,08 133,08 1271,9121 1271,2467 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-10 9,6105 9,6055 133,62 133,62 1284,15501 1283,48691 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-11 9,6365 9,6315 134,52 134,52 1296,30198 1295,62938 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-14 9,5505 9,5455 135,12 135,12 1290,46356 1289,78796 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-15 9,5805 9,5755 134,23 134,23 1285,990515 1285,319365 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-16 9,6235 9,6185 133,62 133,62 1285,89207 1285,22397 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-17 9,6355 9,6305 134,37 134,37 1294,722135 1294,050285 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-18 9,6085 9,6035 134,92 134,92 1296,37882 1295,70422 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-21 9,5915 9,5865 134,9 134,9 1293,89335 1293,21885 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-22 9,5585 9,5535 135,72 135,72 1297,27962 1296,60102 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-23 9,5155 9,5105 136,12 136,12 1295,24986 1294,56926 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-24 9,5125 9,5075 135,87 135,87 1292,463375 1291,784025 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-25 9,4965 9,4915 136,51 136,51 1296,367215 1295,684665 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-28 9,4835 9,4785 136,09 136,09 1290,609515 1289,929065 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-29 9,4785 9,4735 135,92 135,92 1288,31772 1287,63812 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-11-30 9,5295 9,5245 135,5 135,5 1291,24725 1290,56975 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-01 9,5165 9,5115 136,94 136,94 1303,18951 1302,50481 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-02 9,4905 9,4855 137,94 137,94 1309,11957 1308,42987 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-05 9,4065 9,4015 137,91 137,91 1297,250415 1296,560865 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-06 9,4185 9,4135 138 138 1299,753 1299,063 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-07 9,4255 9,4205 138,57 138,57 1306,091535 1305,398685 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-08 9,3965 9,3915 137,56 137,56 1292,58254 1291,89474 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-12 9,4315 9,4265 137,84 137,84 1300,03796 1299,34876 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-13 9,4295 9,4245 137,95 137,95 1300,799525 1300,109775 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-14 9,4365 9,4315 137,86 137,86 1300,91589 1300,22659 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-15 9,4345 9,4295 137,55 137,55 1297,715475 1297,027725 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-16 9,4765 9,4715 138,31 138,31 1310,694715 1310,003165 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-19 9,4535 9,4485 138 138 1304,583 1303,893 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-20 9,4015 9,3965 138,13 138,13 1298,629195 1297,938545 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-21 9,4485 9,4435 139,22 139,22 1315,42017 1314,72407 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-22 9,4365 9,4315 139,01 139,01 1311,767865 1311,072815 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-23 9,4425 9,4375 139,01 139,01 1312,601925 1311,906875 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-28 9,4345 9,4295 139,12 139,12 1312,52764 1311,83204 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-29 9,4115 9,4065 139,49 139,49 1312,810135 1312,112685 168005 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Europe Select Large Cap Fund EUR 2005-12-30 9,4325 9,4275 138,96 138,96 1310,7402 1310,0454 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-03 6,668 6,658 103,53 103,53 690,33804 689,30274 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-04 6,728 6,718 102,73 102,73 691,16744 690,14014 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-05 6,828 6,818 101,16 101,16 690,72048 689,70888 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-07 6,87 6,86 100,85 100,85 692,8395 691,831 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-10 6,96091 6,95091 100,65 100,65 700,6155915 699,6090915 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-11 6,96091 6,95091 100,7 100,7 700,963637 699,956637 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-12 6,913 6,903 100,73 100,73 696,34649 695,33919 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-13 6,843 6,833 100,81 100,81 689,84283 688,83473 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-14 6,915 6,905 100,52 100,52 695,0958 694,0906 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-18 6,968 6,958 100,37 100,37 699,37816 698,37446 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-19 6,91 6,9 101,07 101,07 698,3937 697,383 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-20 6,96 6,95 99,73 99,73 694,1208 693,1235 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-21 6,978 6,968 99,84 99,84 696,68352 695,68512 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-24 6,933 6,923 99,73 99,73 691,42809 690,43079 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-25 6,95 6,94 99,9 99,9 694,305 693,306 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-26 6,995 6,985 100,52 100,52 703,1374 702,1322 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-27 6,93 6,92 100,37 100,37 695,5641 694,5604 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-28 6,985 6,975 100,54 100,54 702,2719 701,2665 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-01-31 6,998 6,988 101,15 101,15 707,8477 706,8362 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-01 6,993 6,983 101,1 101,1 706,9923 705,9813 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-02 6,953 6,943 101,62 101,62 706,56386 705,54766 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-03 6,968 6,958 101,28 101,28 705,71904 704,70624 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-04 7,01 7 101,65 101,65 712,5665 711,55 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-07 7,065 7,055 102,19 102,19 721,97235 720,95045 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-08 7,123 7,113 101,98 101,98 726,40354 725,38374 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-09 7,1 7,09 102,31 102,31 726,401 725,3779 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-10 7,088 7,078 102,52 102,52 726,66176 725,63656 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-11 7,068 7,058 102,97 102,97 727,79196 726,76226 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-14 7,03 7,02 104,17 104,17 732,3151 731,2734 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-15 7,005 6,995 104,27 104,27 730,41135 729,36865 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-16 6,973 6,963 104,12 104,12 726,02876 724,98756 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-17 6,97 6,96 104,43 104,43 727,8771 726,8328 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-18 6,965 6,955 104,73 104,73 729,44445 728,39715 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-22 6,905 6,895 104,75 104,75 723,29875 722,25125 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-23 6,895 6,885 104,02 104,02 717,2179 716,1777 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-24 6,858 6,848 104,22 104,22 714,74076 713,69856 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-25 6,885 6,875 104,86 104,86 721,9611 720,9125 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-02-28 6,828 6,818 106,09 106,09 724,38252 723,32162 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-01 6,87 6,86 105,91 105,91 727,6017 726,5426 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-02 6,888 6,878 105,57 105,57 727,16616 726,11046 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-03 6,903 6,893 106,61 106,61 735,92883 734,86273 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-04 6,9 6,89 107,27 107,27 740,163 739,0903 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-07 6,84 6,83 107,55 107,55 735,642 734,5665 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-08 6,825 6,815 107,64 107,64 734,643 733,5666 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-09 6,76 6,75 107,23 107,23 724,8748 723,8025 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-10 6,745 6,735 106,65 106,65 719,35425 718,28775 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-11 6,765 6,755 107,07 107,07 724,32855 723,25785 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-14 6,76 6,75 106,17 106,17 717,7092 716,6475 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-15 6,815 6,805 106,07 106,07 722,86705 721,80635 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-16 6,81 6,8 105,78 105,78 720,3618 719,304 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-17 6,795 6,785 104,78 104,78 711,9801 710,9323 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-18 6,828 6,818 104,96 104,96 716,66688 715,61728 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-21 6,908 6,898 104,28 104,28 720,36624 719,32344 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-22 6,928 6,918 103,93 103,93 720,02704 718,98774 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-23 6,973 6,963 102,53 102,53 714,94169 713,91639 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-24 7,008 6,998 102,7 102,7 719,7216 718,6946 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-29 7,055 7,045 102,15 102,15 720,66825 719,64675 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-30 7,053 7,043 101,56 101,56 716,30268 715,28708 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-03-31 7,065 7,055 102,67 102,67 725,36355 724,33685 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-01 7,07 7,06 103 103 728,21 727,18 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-04 7,113 7,103 101,62 101,62 722,82306 721,80686 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-05 7,163 7,153 102,44 102,44 733,77772 732,75332 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-06 7,125 7,115 102,73 102,73 731,95125 730,92395 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-07 7,083 7,073 102,93 102,93 729,05319 728,02389 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-08 7,153 7,143 103,44 103,44 739,90632 738,87192 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-11 7,098 7,088 103,36 103,36 733,64928 732,61568 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-12 7,048 7,038 102,65 102,65 723,4772 722,4507 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-13 7,075 7,065 103,02 103,02 728,8665 727,8363 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-14 7,12 7,11 102,29 102,29 728,3048 727,2819 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-15 7,17 7,16 100,96 100,96 723,8832 722,8736 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-18 7,08 7,07 98,77 98,77 699,2916 698,3039 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-19 7,068 7,058 99,67 99,67 704,46756 703,47086 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-20 7,043 7,033 99,33 99,33 699,58119 698,58789 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-21 7,025 7,015 99,62 99,62 699,8305 698,8343 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-22 7,023 7,013 100,07 100,07 702,79161 701,79091 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-25 7,04 7,03 100,05 100,05 704,352 703,3515 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-26 7,035 7,025 99,76 99,76 701,8116 700,814 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-27 7,085 7,075 98,94 98,94 700,9899 700,0005 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-28 7,085 7,075 98,63 98,63 698,79355 697,80725 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-04-29 7,08 7,07 98,83 98,83 699,7164 698,7281 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-02 7,15 7,14 99,22 99,22 709,423 708,4308 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-03 7,178 7,168 98,86 98,86 709,61708 708,62848 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-04 7,11 7,1 99,44 99,44 707,0184 706,024 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-06 7,085 7,075 100,65 100,65 713,10525 712,09875 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-09 7,168 7,158 100,26 100,26 718,66368 717,66108 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-10 7,178 7,168 99,88 99,88 716,93864 715,93984 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-11 7,15 7,14 99,55 99,55 711,7825 710,787 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-12 7,243 7,233 99,39 99,39 719,88177 718,88787 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-13 7,265 7,255 98,49 98,49 715,52985 714,54495 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-16 7,32 7,31 98,03 98,03 717,5796 716,5993 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-17 7,313 7,303 98,11 98,11 717,47843 716,49733 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-18 7,3 7,29 98,55 98,55 719,415 718,4295 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-19 7,26 7,25 99,89 99,89 725,2014 724,2025 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-20 7,28 7,27 99,75 99,75 726,18 725,1825 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-23 7,32 7,31 100,04 100,04 732,2928 731,2924 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-24 7,295 7,285 99,94 99,94 729,0623 728,0629 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-25 7,298 7,288 99,86 99,86 728,77828 727,77968 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-26 7,33 7,32 99,83 99,83 731,7539 730,7556 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-27 7,338 7,328 100,3 100,3 736,0014 734,9984 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-05-31 7,403 7,393 100,15 100,15 741,41045 740,40895 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-01 7,428 7,418 100,16 100,16 743,98848 742,98688 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-02 7,473 7,463 100,66 100,66 752,23218 751,22558 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-03 7,438 7,428 101,12 101,12 752,13056 751,11936 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-07 7,448 7,438 101,08 101,08 752,84384 751,83304 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-08 7,435 7,425 101,39 101,39 753,83465 752,82075 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-09 7,523 7,513 100,64 100,64 757,11472 756,10832 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-10 7,525 7,515 101,1 101,1 760,7775 759,7665 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-13 7,643 7,633 101,1 101,1 772,7073 771,6963 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-14 7,663 7,653 101,29 101,29 776,18527 775,17237 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-15 7,693 7,683 102 102 784,686 783,666 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-16 7,678 7,668 102,32 102,32 785,61296 784,58976 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-17 7,643 7,633 103,57 103,57 791,58551 790,54981 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-20 7,543 7,533 103,24 103,24 778,73932 777,70692 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-21 7,648 7,638 103,34 103,34 790,34432 789,31092 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-22 7,608 7,598 103,67 103,67 788,72136 787,68466 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-23 7,73 7,72 103,43 103,43 799,5139 798,4796 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-27 7,73 7,72 102,17 102,17 789,7741 788,7524 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-28 7,76 7,75 102,61 102,61 796,2536 795,2275 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-29 7,833 7,823 102,47 102,47 802,64751 801,62281 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-06-30 7,823 7,813 102,87 102,87 804,75201 803,72331 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-01 7,858 7,848 102,51 102,51 805,52358 804,49848 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-05 7,963 7,953 101,71 101,71 809,91673 808,89963 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-06 7,895 7,885 102,49 102,49 809,15855 808,13365 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-07 7,878 7,868 101,06 101,06 796,15068 795,14008 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-08 7,913 7,903 102,13 102,13 808,15469 807,13339 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-11 7,89 7,88 103,68 103,68 818,0352 816,9984 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-12 7,77 7,76 104,7 104,7 813,519 812,472 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-13 7,703 7,693 104,86 104,86 807,73658 806,68798 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-14 7,76 7,75 105,51 105,51 818,7576 817,7025 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-15 7,76 7,75 104,92 104,92 814,1792 813,13 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-18 7,78 7,77 105,12 105,12 817,8336 816,7824 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-19 7,878 7,868 104,98 104,98 827,03244 825,98264 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-20 7,818 7,808 105,37 105,37 823,78266 822,72896 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-21 7,775 7,765 106,17 106,17 825,47175 824,41005 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-22 7,758 7,748 105,77 105,77 820,56366 819,50596 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-25 7,838 7,828 105,42 105,42 826,28196 825,22776 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-26 7,818 7,808 104,67 104,67 818,31006 817,26336 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-27 7,905 7,895 105,25 105,25 832,00125 830,94875 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-28 7,848 7,838 105,78 105,78 830,16144 829,10364 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-07-29 7,748 7,738 106,02 106,02 821,44296 820,38276 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-01 7,72 7,71 106,42 106,42 821,5624 820,4982 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-02 7,7 7,69 106,67 106,67 821,359 820,2923 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-03 7,685 7,675 107,27 107,27 824,36995 823,29725 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-04 7,618 7,608 106,67 106,67 812,61206 811,54536 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-05 7,548 7,538 106,04 106,04 800,38992 799,32952 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-08 7,558 7,548 106,38 106,38 804,02004 802,95624 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-09 7,548 7,538 106,39 106,39 803,03172 801,96782 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-10 7,558 7,548 108 108 816,264 815,184 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-11 7,523 7,513 108,92 108,92 819,40516 818,31596 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-12 7,46 7,45 108,77 108,77 811,4242 810,3365 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-15 7,508 7,498 108,87 108,87 817,39596 816,30726 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-16 7,523 7,513 108,44 108,44 815,79412 814,70972 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-17 7,605 7,595 107,34 107,34 816,3207 815,2473 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-18 7,61 7,6 106,73 106,73 812,2153 811,148 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-19 7,698 7,688 107,05 107,05 824,0709 823,0004 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-22 7,69 7,68 108 108 830,52 829,44 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-23 7,663 7,653 107,41 107,41 823,08283 822,00873 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-24 7,673 7,663 107,28 107,28 823,15944 822,08664 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-25 7,588 7,578 106,64 106,64 809,18432 808,11792 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-26 7,578 7,568 106,78 106,78 809,17884 808,11104 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-29 7,573 7,563 105,99 105,99 802,66227 801,60237 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-30 7,633 7,623 106,3 106,3 811,3879 810,3249 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-08-31 7,668 7,658 106,64 106,64 817,71552 816,64912 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-01 7,568 7,558 107,94 107,94 816,88992 815,81052 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-02 7,435 7,425 108,32 108,32 805,3592 804,276 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-06 7,485 7,475 109,26 109,26 817,8111 816,7185 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-07 7,43 7,42 109,48 109,48 813,4364 812,3416 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-08 7,498 7,488 109,47 109,47 820,80606 819,71136 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-09 7,523 7,513 110,07 110,07 828,05661 826,95591 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-12 7,555 7,545 110,65 110,65 835,96075 834,85425 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-13 7,57 7,56 110,33 110,33 835,1981 834,0948 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-14 7,61 7,6 110,28 110,28 839,2308 838,128 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-15 7,658 7,648 110,51 110,51 846,28558 845,18048 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-16 7,613 7,603 110,7 110,7 842,7591 841,6521 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-19 7,698 7,688 111,07 111,07 855,01686 853,90616 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-20 7,688 7,678 111,53 111,53 857,44264 856,32734 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-21 7,663 7,653 111,39 111,39 853,58157 852,46767 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-22 7,648 7,638 110,48 110,48 844,95104 843,84624 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-23 7,733 7,723 109,98 109,98 850,47534 849,37554 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-26 7,798 7,788 111,14 111,14 866,66972 865,55832 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-27 7,825 7,815 110,86 110,86 867,4795 866,3709 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-28 7,81 7,8 112,05 112,05 875,1105 873,99 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-29 7,785 7,775 112,36 112,36 874,7226 873,599 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-09-30 7,785 7,775 112,55 112,55 876,20175 875,07625 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-03 7,783 7,773 112,21 112,21 873,33043 872,20833 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-04 7,82 7,81 112,84 112,84 882,4088 881,2804 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-05 7,795 7,785 111,69 111,69 870,62355 869,50665 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-06 7,713 7,703 109,79 109,79 846,81027 845,71237 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-07 7,683 7,673 109,36 109,36 840,21288 839,11928 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-10 7,698 7,688 109,19 109,19 840,54462 839,45272 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-11 7,77 7,76 109,91 109,91 854,0007 852,9016 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-12 7,805 7,795 109,06 109,06 851,2133 850,1227 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-13 7,83 7,82 107,46 107,46 841,4118 840,3372 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-14 7,833 7,823 107,53 107,53 842,28249 841,20719 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-17 7,835 7,825 107,42 107,42 841,6357 840,5615 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-18 7,893 7,883 107,14 107,14 845,65602 844,58462 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-19 7,96 7,95 105,61 105,61 840,6556 839,5995 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-20 7,93 7,92 106,89 106,89 847,6377 846,5688 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-21 7,883 7,873 106,47 106,47 839,30301 838,23831 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-24 7,995 7,985 106,43 106,43 850,90785 849,84355 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-25 7,99 7,98 107,31 107,31 857,4069 856,3338 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-26 7,868 7,858 107,66 107,66 847,06888 845,99228 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-27 7,868 7,858 107,52 107,52 845,96736 844,89216 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-28 7,825 7,815 106,83 106,83 835,94475 834,87645 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-10-31 7,905 7,895 108,62 108,62 858,6411 857,5549 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-01 7,963 7,953 109,26 109,26 870,03738 868,94478 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-02 7,98 7,97 109,74 109,74 875,7252 874,6278 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-03 8,01 8 111,3 111,3 891,513 890,4 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-04 8,028 8,018 111,54 111,54 895,44312 894,32772 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-07 8,135 8,125 111,12 111,12 903,9612 902,85 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-08 8,17 8,16 111,06 111,06 907,3602 906,2496 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-09 8,12 8,11 111,09 111,09 902,0508 900,9399 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-10 8,173 8,163 111,72 111,72 913,08756 911,97036 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-11 8,235 8,225 112,62 112,62 927,4257 926,2995 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-14 8,133 8,123 112,5 112,5 914,9625 913,8375 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-15 8,185 8,175 111,83 111,83 915,32855 914,21025 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-16 8,21 8,2 111,83 111,83 918,1243 917,006 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-17 8,258 8,248 112,93 112,93 932,57594 931,44664 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-18 8,223 8,213 113,98 113,98 937,25754 936,11774 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-21 8,123 8,113 113,92 113,92 925,37216 924,23296 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-22 8,15 8,14 113,75 113,75 927,0625 925,925 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-23 8,048 8,038 115,03 115,03 925,76144 924,61114 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-25 8,078 8,068 115,27 115,27 931,15106 929,99836 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-28 8,118 8,108 115,22 115,22 935,35596 934,20376 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-29 8,015 8,005 115,05 115,05 922,12575 920,97525 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-11-30 8,088 8,078 114,56 114,56 926,56128 925,41568 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-01 8,083 8,073 115,32 115,32 932,13156 930,97836 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-02 8,103 8,093 116,35 116,35 942,78405 941,62055 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-05 8,045 8,035 117,27 117,27 943,43715 942,26445 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-06 7,993 7,983 117,33 117,33 937,81869 936,64539 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-07 8,015 8,005 117,72 117,72 943,5258 942,3486 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-08 7,988 7,978 116,81 116,81 933,07828 931,91018 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-12 7,953 7,943 118,59 118,59 943,14627 941,96037 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-13 7,905 7,895 118,64 118,64 937,8492 936,6628 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-14 7,848 7,838 118,91 118,91 933,20568 932,01658 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-15 7,858 7,848 119,06 119,06 935,57348 934,38288 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-16 7,903 7,893 119,06 119,06 940,93118 939,74058 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-19 7,865 7,855 119,05 119,05 936,32825 935,13775 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-20 7,848 7,838 119,36 119,36 936,73728 935,54368 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-21 7,948 7,938 120 120 953,76 952,56 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-22 7,98 7,97 120,44 120,44 961,1112 959,9068 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-23 7,955 7,945 120,76 120,76 960,6458 959,4382 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-27 8,01 8 121,09 121,09 969,9309 968,72 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-28 7,915 7,905 121,09 121,09 958,42735 957,21645 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-29 7,938 7,928 121,04 121,04 960,81552 959,60512 239665 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global 50 Equity Fund USD 2005-12-30 7,958 7,948 120,36 120,36 957,82488 956,62128 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-03 9,0065 9,0015 969 969 8727,2985 8722,4535 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-04 9,0345 9,0295 970,97 970,97 8772,228465 8767,373615 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-05 9,0615 9,0565 969,08 969,08 8781,31842 8776,47302 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-07 9,0615 9,0565 972,48 972,48 8812,12752 8807,26512 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-10 9,08619 9,08119 974,06 974,06 8850,4942314 8845,6239314 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-11 9,08619 9,08119 972,26 972,26 8834,1390894 8829,2777894 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-12 9,0455 9,0405 967,65 967,65 8752,878075 8748,039825 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-13 9,0505 9,0455 970,11 970,11 8779,980555 8775,130005 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-14 9,0455 9,0405 973,75 973,75 8808,055625 8803,186875 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-17 9,0685 9,0635 977,01 977,01 8860,015185 8855,130135 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-18 9,0585 9,0535 976,75 976,75 8847,889875 8843,006125 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-19 9,0225 9,0175 979,75 979,75 8839,794375 8834,895625 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-20 9,0315 9,0265 976,06 976,06 8815,28589 8810,40559 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-21 9,0505 9,0455 974,67 974,67 8821,250835 8816,377485 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-24 9,0655 9,0605 973,1 973,1 8821,63805 8816,77255 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-25 9,0715 9,0665 976,23 976,23 8855,870445 8850,989295 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-26 9,0885 9,0835 977,59 977,59 8884,826715 8879,938765 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-27 9,0675 9,0625 976,89 976,89 8857,950075 8853,065625 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-28 9,0955 9,0905 978,14 978,14 8896,67237 8891,78167 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-01-31 9,1075 9,1025 980,76 980,76 8932,2717 8927,3679 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-01 9,1035 9,0985 983 983 8948,7405 8943,8255 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-02 9,0905 9,0855 985,22 985,22 8956,14241 8951,21631 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-03 9,0695 9,0645 986,86 986,86 8950,32677 8945,39247 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-04 9,0895 9,0845 990,18 990,18 9000,24111 8995,29021 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-07 9,0755 9,0705 997,02 997,02 9048,45501 9043,46991 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-08 9,0895 9,0845 998,83 998,83 9078,865285 9073,871135 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-09 9,0695 9,0645 999,34 999,34 9063,51413 9058,51743 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-10 9,0805 9,0755 996,83 996,83 9051,714815 9046,730665 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-11 9,0935 9,0885 997,09 997,09 9067,037915 9062,052465 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-14 9,1105 9,1055 998,8 998,8 9099,5674 9094,5734 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-15 9,0765 9,0715 999,77 999,77 9074,412405 9069,413555 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-16 9,0705 9,0655 997,59 997,59 9048,640095 9043,652145 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-17 9,0925 9,0875 998,23 998,23 9076,406275 9071,415125 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-18 9,0945 9,0895 995,41 995,41 9052,756245 9047,779195 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-21 9,1185 9,1135 995,76 995,76 9079,83756 9074,85876 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-22 9,0975 9,0925 989,09 989,09 8998,246275 8993,300825 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-23 9,1045 9,0995 986,38 986,38 8980,49671 8975,56481 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-24 9,0715 9,0665 986,68 986,68 8950,66762 8945,73422 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-25 9,0845 9,0795 990,89 990,89 9001,740205 8996,785755 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-02-28 9,0505 9,0455 993,94 993,94 8995,65397 8990,68427 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-01 9,0565 9,0515 994,81 994,81 9009,496765 9004,522715 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-02 9,0645 9,0595 995,14 995,14 9020,44653 9015,47083 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-03 9,0675 9,0625 997,63 997,63 9046,010025 9041,021875 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-04 9,0415 9,0365 998,83 998,83 9030,921445 9025,927295 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-07 9,0425 9,0375 1000,89 1000,89 9050,547825 9045,543375 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-08 9,0345 9,0295 996,96 996,96 9007,03512 9002,05032 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-09 9,0365 9,0315 993,54 993,54 8978,12421 8973,15651 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-10 9,0655 9,0605 989,71 989,71 8972,216005 8967,267455 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-11 9,0795 9,0745 990,08 990,08 8989,43136 8984,48096 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-14 9,0695 9,0645 987,86 987,86 8959,39627 8954,45697 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-15 9,1035 9,0985 993,57 993,57 9044,964495 9039,996645 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-16 9,0975 9,0925 987,9 987,9 8987,42025 8982,48075 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-17 9,1045 9,0995 987,29 987,29 8988,781805 8983,845355 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-18 9,1035 9,0985 989,99 989,99 9012,373965 9007,424015 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-21 9,1265 9,1215 991,6 991,6 9049,8374 9044,8794 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-22 9,1265 9,1215 990,59 990,59 9040,619635 9035,666685 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-23 9,1165 9,1115 987,95 987,95 9006,646175 9001,706425 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-24 9,1135 9,1085 990,47 990,47 9026,648345 9021,695995 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-29 9,1315 9,1265 990,4 990,4 9043,8376 9038,8856 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-30 9,1425 9,1375 986,44 986,44 9018,5277 9013,5955 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-03-31 9,1405 9,1355 992,45 992,45 9071,489225 9066,526975 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-01 9,1645 9,1595 994,87 994,87 9117,486115 9112,511765 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-04 9,1695 9,1645 994,9 994,9 9122,73555 9117,76105 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-05 9,1745 9,1695 999,16 999,16 9166,79342 9161,79762 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-06 9,1705 9,1655 999,89 999,89 9169,491245 9164,491795 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-07 9,1505 9,1455 1000,09 1000,09 9151,323545 9146,323095 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-08 9,1625 9,1575 1004,18 1004,18 9200,79925 9195,77835 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-11 9,1705 9,1655 999,8 999,8 9168,6659 9163,6669 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-12 9,1525 9,1475 998,69 998,69 9140,510225 9135,516775 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-13 9,1495 9,1445 1001,46 1001,46 9162,85827 9157,85097 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-14 9,1685 9,1635 1000,96 1000,96 9177,30176 9172,29696 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-15 9,1925 9,1875 992,58 992,58 9124,29165 9119,32875 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-18 9,1805 9,1755 980,43 980,43 9000,837615 8995,935465 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-19 9,2035 9,1985 984,7 984,7 9062,68645 9057,76295 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-20 9,1915 9,1865 982,77 982,77 9033,130455 9028,216605 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-21 9,1855 9,1805 981,11 981,11 9011,985905 9007,080355 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-22 9,1625 9,1575 983,78 983,78 9013,88425 9008,96535 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-25 9,1685 9,1635 987,88 987,88 9057,37778 9052,43838 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-26 9,1375 9,1325 986,46 986,46 9013,77825 9008,84595 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-27 9,1465 9,1415 981,92 981,92 8981,13128 8976,22168 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-28 9,1505 9,1455 981,97 981,97 8985,516485 8980,606635 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-04-29 9,1705 9,1655 983,03 983,03 9014,876615 9009,961465 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-02 9,1935 9,1885 986,95 986,95 9073,524825 9068,590075 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-03 9,2245 9,2195 987,17 987,17 9106,149665 9101,213815 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-04 9,1915 9,1865 986,35 986,35 9066,036025 9061,104275 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-06 9,1715 9,1665 994,62 994,62 9122,15733 9117,18423 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-09 9,1815 9,1765 993,56 993,56 9122,37114 9117,40334 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-10 9,1985 9,1935 991,78 991,78 9122,88833 9117,92943 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-11 9,2105 9,2055 993,77 993,77 9153,118585 9148,149735 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-12 9,2315 9,2265 996,27 996,27 9197,066505 9192,085155 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-13 9,2045 9,1995 995,28 995,28 9161,05476 9156,07836 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-16 9,2145 9,2095 993,57 993,57 9155,250765 9150,282915 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-17 9,2325 9,2275 994,82 994,82 9184,67565 9179,70155 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-18 9,2095 9,2045 999,45 999,45 9204,434775 9199,437525 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-19 9,1905 9,1855 1004,53 1004,53 9232,132965 9227,110315 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-20 9,1955 9,1905 1006,44 1006,44 9254,71902 9249,68682 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-23 9,1805 9,1755 1007,93 1007,93 9253,301365 9248,261715 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-24 9,1815 9,1765 1007,92 1007,92 9254,21748 9249,17788 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-25 9,1785 9,1735 1006,87 1006,87 9241,556295 9236,521945 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-26 9,1945 9,1895 1008,98 1008,98 9277,06661 9272,02171 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-27 9,1955 9,1905 1010,13 1010,13 9288,650415 9283,599765 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-30 9,1905 9,1855 1013,76 1013,76 9316,96128 9311,89248 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-05-31 9,1665 9,1615 1018,25 1018,25 9333,788625 9328,697375 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-01 9,1455 9,1405 1023,13 1023,13 9357,035415 9351,919765 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-02 9,1565 9,1515 1026,56 1026,56 9399,69664 9394,56384 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-03 9,1315 9,1265 1026,83 1026,83 9376,498145 9371,363995 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-07 9,1455 9,1405 1029,77 1029,77 9417,761535 9412,612685 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-08 9,1455 9,1405 1028,6 1028,6 9407,0613 9401,9183 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-09 9,1965 9,1915 1028,03 1028,03 9454,277895 9449,137745 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-10 9,1975 9,1925 1034,98 1034,98 9519,22855 9514,05365 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-13 9,2365 9,2315 1034,98 1034,98 9559,59277 9554,41787 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-14 9,2985 9,2935 1037,15 1037,15 9643,939275 9638,753525 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-15 9,2695 9,2645 1035,01 1035,01 9594,025195 9588,850145 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-16 9,2695 9,2645 1035,89 1035,89 9602,182355 9597,002905 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-17 9,2695 9,2645 1038,66 1038,66 9627,85887 9622,66557 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-20 9,2255 9,2205 1036,57 1036,57 9562,876535 9557,693685 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-21 9,2725 9,2675 1040,32 1040,32 9646,3672 9641,1656 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-22 9,2615 9,2565 1043,25 1043,25 9662,059875 9656,843625 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-23 9,3535 9,3485 1045,48 1045,48 9778,89718 9773,66978 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-27 9,3855 9,3805 1035,39 1035,39 9717,652845 9712,475895 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-28 9,3995 9,3945 1039,27 1039,27 9768,618365 9763,422015 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-29 9,4215 9,4165 1042,37 1042,37 9820,688955 9815,477105 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-06-30 9,4415 9,4365 1041,24 1041,24 9830,86746 9825,66126 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-01 9,4595 9,4545 1041,2 1041,2 9849,2314 9844,0254 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-04 9,4795 9,4745 1046,39 1046,39 9919,254005 9914,022055 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-05 9,4575 9,4525 1043,86 1043,86 9872,30595 9867,08665 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-06 9,4195 9,4145 1047,69 1047,69 9868,715955 9863,477505 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-07 9,3965 9,3915 1039,16 1039,16 9764,46694 9759,27114 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-08 9,4175 9,4125 1044,1 1044,1 9832,81175 9827,59125 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-11 9,4665 9,4615 1046,47 1046,47 9906,408255 9901,175905 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-12 9,4645 9,4595 1042,97 1042,97 9871,189565 9865,974715 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-13 9,3915 9,3865 1046,41 1046,41 9827,359515 9822,127465 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-14 9,3675 9,3625 1049,26 1049,26 9828,94305 9823,69675 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-15 9,4055 9,4005 1049,63 1049,63 9872,294965 9867,046815 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-18 9,3895 9,3845 1049 1049 9849,5855 9844,3405 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-19 9,4425 9,4375 1051,32 1051,32 9927,0891 9921,8325 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-20 9,4265 9,4215 1048,19 1048,19 9880,763035 9875,522085 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-21 9,4625 9,4575 1048,68 1048,68 9923,1345 9917,8911 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-22 9,4495 9,4445 1048,65 1048,65 9909,218175 9903,974925 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-25 9,4275 9,4225 1051,62 1051,62 9914,14755 9908,88945 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-26 9,4155 9,4105 1053,02 1053,02 9914,70981 9909,44471 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-27 9,4725 9,4675 1054,4 1054,4 9987,804 9982,532 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-28 9,4515 9,4465 1055,21 1055,21 9973,317315 9968,041265 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-07-29 9,3885 9,3835 1055,56 1055,56 9910,12506 9904,84726 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-01 9,3985 9,3935 1052,6 1052,6 9892,8611 9887,5981 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-02 9,3995 9,3945 1053,49 1053,49 9902,279255 9897,011805 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-03 9,3755 9,3705 1051,6 1051,6 9859,2758 9854,0178 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-04 9,3735 9,3685 1049,14 1049,14 9834,11379 9828,86809 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-05 9,3355 9,3305 1045,98 1045,98 9764,74629 9759,51639 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-08 9,3335 9,3285 1047,18 1047,18 9773,85453 9768,61863 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-09 9,3455 9,3405 1049,44 1049,44 9807,54152 9802,29432 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-10 9,3535 9,3485 1053,85 1053,85 9857,185975 9851,916725 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-11 9,3365 9,3315 1053,83 1053,83 9839,083795 9833,814645 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-12 9,3025 9,2975 1055,23 1055,23 9816,277075 9811,000925 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-15 9,3065 9,3015 1057,49 1057,49 9841,530685 9836,243235 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-16 9,2995 9,2945 1059 1059 9848,1705 9842,8755 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-17 9,3405 9,3355 1057,05 1057,05 9873,375525 9868,090275 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-18 9,3365 9,3315 1059,29 1059,29 9890,061085 9884,764635 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-19 9,3395 9,3345 1061,71 1061,71 9915,840545 9910,531995 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-22 9,3655 9,3605 1064,27 1064,27 9967,420685 9962,099335 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-23 9,3715 9,3665 1062,25 1062,25 9954,875875 9949,564625 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-24 9,3365 9,3315 1059,09 1059,09 9888,193785 9882,898335 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-25 9,3335 9,3285 1055,96 1055,96 9855,80266 9850,52286 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-26 9,3415 9,3365 1055,31 1055,31 9858,178365 9852,901815 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-29 9,3295 9,3245 1052,87 1052,87 9822,750665 9817,486315 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-30 9,3285 9,3235 1057,99 1057,99 9869,459715 9864,169765 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-08-31 9,3585 9,3535 1059,21 1059,21 9912,616785 9907,320735 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-01 9,3365 9,3315 1059,57 1059,57 9892,675305 9887,377455 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-02 9,3025 9,2975 1057,57 1057,57 9838,044925 9832,757075 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-05 9,2845 9,2795 1060,02 1060,02 9841,75569 9836,45559 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-06 9,3225 9,3175 1062,38 1062,38 9904,03755 9898,72565 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-07 9,3075 9,3025 1065,86 1065,86 9920,49195 9915,16265 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-08 9,3255 9,3205 1065,41 1065,41 9935,480955 9930,153905 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-09 9,3445 9,3395 1069,14 1069,14 9990,57873 9985,23303 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-12 9,3015 9,2965 1074,59 1074,59 9995,298885 9989,925935 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-13 9,3015 9,2965 1073,07 1073,07 9981,160605 9975,795255 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-14 9,3365 9,3315 1071,86 1071,86 10007,42089 10002,06159 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-15 9,3425 9,3375 1075,61 1075,61 10048,886425 10043,508375 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-16 9,3465 9,3415 1076,77 1076,77 10064,030805 10058,646955 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-19 9,3355 9,3305 1080,53 1080,53 10087,287815 10081,885165 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-20 9,3395 9,3345 1082,04 1082,04 10105,71258 10100,30238 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-21 9,3405 9,3355 1077,21 1077,21 10061,680005 10056,293955 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-22 9,3405 9,3355 1074,78 1074,78 10038,98259 10033,60869 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-23 9,3695 9,3645 1078,5 1078,5 10105,00575 10099,61325 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-26 9,3815 9,3765 1083,96 1083,96 10169,17074 10163,75094 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-27 9,3885 9,3835 1083,19 1083,19 10169,529315 10164,113365 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-28 9,3935 9,3885 1086,92 1086,92 10209,98302 10204,54842 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-29 9,3845 9,3795 1088,13 1088,13 10211,555985 10206,115335 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-09-30 9,3435 9,3385 1090,79 1090,79 10191,796365 10186,342415 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-03 9,3025 9,2975 1095,25 1095,25 10188,563125 10183,086875 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-04 9,3185 9,3135 1094,83 1094,83 10202,173355 10196,699205 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-05 9,3105 9,3055 1092,01 1092,01 10167,159105 10161,699055 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-06 9,3015 9,2965 1077,4 1077,4 10021,4361 10016,0491 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-07 9,3385 9,3335 1076,33 1076,33 10051,307705 10045,926055 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-10 9,3465 9,3415 1077,82 1077,82 10073,84463 10068,45553 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-11 9,3395 9,3345 1082,21 1082,21 10107,300295 10101,889245 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-12 9,3375 9,3325 1078,93 1078,93 10074,508875 10069,114225 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-13 9,3815 9,3765 1073,18 1073,18 10068,03817 10062,67227 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-14 9,4135 9,4085 1071,23 1071,23 10084,023605 10078,667455 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-17 9,4575 9,4525 1070,17 1070,17 10121,132775 10115,781925 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-18 9,4625 9,4575 1070,81 1070,81 10132,539625 10127,185575 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-19 9,4605 9,4555 1063,19 1063,19 10058,308995 10052,993045 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-20 9,4935 9,4885 1066,21 1066,21 10122,064635 10116,733585 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-21 9,4915 9,4865 1060,56 1060,56 10066,30524 10061,00244 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-24 9,5455 9,5405 1065,89 1065,89 10174,452995 10169,123545 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-25 9,5465 9,5415 1064,95 1064,95 10166,545175 10161,220425 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-26 9,4975 9,4925 1064,21 1064,21 10107,334475 10102,013425 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-27 9,5355 9,5305 1060,16 1060,16 10109,15568 10103,85488 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-28 9,5135 9,5085 1057,92 1057,92 10064,52192 10059,23232 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-10-31 9,5495 9,5445 1069,86 1069,86 10216,62807 10211,27877 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-01 9,5495 9,5445 1073,33 1073,33 10249,764835 10244,398185 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-02 9,5855 9,5805 1073,67 1073,67 10291,663785 10286,295435 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-03 9,6515 9,6465 1082,6 1082,6 10448,7139 10443,3009 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-04 9,5875 9,5825 1086,23 1086,23 10414,230125 10408,798975 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-07 9,6075 9,6025 1090,42 1090,42 10476,21015 10470,75805 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-08 9,5685 9,5635 1090,84 1090,84 10437,70254 10432,24834 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-09 9,5575 9,5525 1091,43 1091,43 10431,342225 10425,885075 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-10 9,6105 9,6055 1091,85 1091,85 10493,224425 10487,765175 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-11 9,6365 9,6315 1096,92 1096,92 10570,46958 10564,98498 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-14 9,5505 9,5455 1097,91 1097,91 10485,589455 10480,099905 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-15 9,5805 9,5755 1095,26 1095,26 10493,13843 10487,66213 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-16 9,6235 9,6185 1095,84 1095,84 10545,81624 10540,33704 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-17 9,6355 9,6305 1097,87 1097,87 10578,526385 10573,037035 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-18 9,6085 9,6035 1100,44 1100,44 10573,57774 10568,07554 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-21 9,5915 9,5865 1098,68 1098,68 10537,98922 10532,49582 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-22 9,5585 9,5535 1104,63 1104,63 10558,605855 10553,082705 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-23 9,5155 9,5105 1104,7 1104,7 10511,77285 10506,24935 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-24 9,5125 9,5075 1105,83 1105,83 10519,207875 10513,678725 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-25 9,4965 9,4915 1108,33 1108,33 10525,255845 10519,714195 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-28 9,4835 9,4785 1108,29 1108,29 10510,468215 10504,926765 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-29 9,4785 9,4735 1107,05 1107,05 10493,173425 10487,638175 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-11-30 9,5295 9,5245 1104,89 1104,89 10529,049255 10523,524805 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-01 9,5165 9,5115 1110,93 1110,93 10572,165345 10566,610695 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-02 9,4905 9,4855 1115,66 1115,66 10588,17123 10582,59293 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-05 9,4065 9,4015 1114,12 1114,12 10479,96978 10474,39918 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-06 9,4185 9,4135 1114,61 1114,61 10497,954285 10492,381235 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-07 9,4255 9,4205 1117,02 1117,02 10528,47201 10522,88691 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-08 9,3965 9,3915 1111,29 1111,29 10442,236485 10436,680035 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-12 9,4315 9,4265 1110,11 1110,11 10470,002465 10464,451915 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-13 9,4295 9,4245 1111,88 1111,88 10484,47246 10478,91306 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-14 9,4365 9,4315 1110,16 1110,16 10476,02484 10470,47404 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-15 9,4345 9,4295 1109,8 1109,8 10470,4081 10464,8591 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-16 9,4765 9,4715 1110,78 1110,78 10526,30667 10520,75277 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-19 9,4535 9,4485 1110,01 1110,01 10493,479535 10487,929485 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-20 9,4015 9,3965 1113,1 1113,1 10464,80965 10459,24415 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-21 9,4485 9,4435 1118,42 1118,42 10567,39137 10561,79927 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-22 9,4365 9,4315 1117,56 1117,56 10545,85494 10540,26714 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-23 9,4425 9,4375 1119,39 1119,39 10569,840075 10564,243125 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-27 9,4915 9,4865 1120,2 1120,2 10632,3783 10626,7773 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-28 9,4345 9,4295 1118,08 1118,08 10548,52576 10542,93536 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-29 9,4115 9,4065 1121,13 1121,13 10551,514995 10545,909345 996348 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Balanced Fund (EUR ) EUR 2005-12-30 9,4325 9,4275 1119,42 1119,42 10558,92915 10553,33205 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-03 6,668 6,658 143,63 143,63 957,72484 956,28854 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-04 6,728 6,718 143,79 143,79 967,41912 965,98122 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-05 6,828 6,818 143,62 143,62 980,63736 979,20116 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-07 6,87 6,86 144,11 144,11 990,0357 988,5946 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-10 6,96091 6,95091 144,11 144,11 1003,1367401 1001,6956401 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-11 6,96091 6,95091 144,15 144,15 1003,4151765 1001,9736765 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-12 6,913 6,903 144,18 144,18 996,71634 995,27454 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-13 6,843 6,833 144,45 144,45 988,47135 987,02685 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-14 6,915 6,905 144,46 144,46 998,9409 997,4963 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-18 6,968 6,958 144,53 144,53 1007,08504 1005,63974 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-19 6,91 6,9 144,85 144,85 1000,9135 999,465 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-20 6,96 6,95 144,6 144,6 1006,416 1004,97 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-21 6,978 6,968 144,59 144,59 1008,94902 1007,50312 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-24 6,933 6,923 144,8 144,8 1003,8984 1002,4504 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-25 6,95 6,94 145,02 145,02 1007,889 1006,4388 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-26 6,995 6,985 144,82 144,82 1013,0159 1011,5677 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-27 6,93 6,92 144,7 144,7 1002,771 1001,324 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-28 6,985 6,975 144,97 144,97 1012,61545 1011,16575 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-01-31 6,998 6,988 145 145 1014,71 1013,26 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-01 6,993 6,983 145,18 145,18 1015,24374 1013,79194 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-02 6,953 6,943 145,2 145,2 1009,5756 1008,1236 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-03 6,968 6,958 145,1 145,1 1011,0568 1009,6058 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-04 7,01 7 145,45 145,45 1019,6045 1018,15 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-07 7,065 7,055 145,64 145,64 1028,9466 1027,4902 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-08 7,123 7,113 145,61 145,61 1037,18003 1035,72393 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-09 7,1 7,09 145,68 145,68 1034,328 1032,8712 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-10 7,088 7,078 145,68 145,68 1032,57984 1031,12304 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-11 7,068 7,058 145,42 145,42 1027,82856 1026,37436 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-14 7,03 7,02 145,29 145,29 1021,3887 1019,9358 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-15 7,005 6,995 145,2 145,2 1017,126 1015,674 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-16 6,973 6,963 145,26 145,26 1012,89798 1011,44538 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-17 6,97 6,96 144,89 144,89 1009,8833 1008,4344 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-18 6,965 6,955 144,47 144,47 1006,23355 1004,78885 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-22 6,905 6,895 144,35 144,35 996,73675 995,29325 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-23 6,895 6,885 144,51 144,51 996,39645 994,95135 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-24 6,858 6,848 144,44 144,44 990,56952 989,12512 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-25 6,885 6,875 144,23 144,23 993,02355 991,58125 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-02-28 6,828 6,818 144,31 144,31 985,34868 983,90558 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-01 6,87 6,86 144,05 144,05 989,6235 988,183 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-02 6,888 6,878 143,79 143,79 990,42552 988,98762 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-03 6,903 6,893 143,92 143,92 993,47976 992,04056 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-04 6,9 6,89 144,2 144,2 994,98 993,538 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-07 6,84 6,83 144,49 144,49 988,3116 986,8667 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-08 6,825 6,815 144,36 144,36 985,257 983,8134 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-09 6,76 6,75 144 144 973,44 972 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-10 6,745 6,735 144,04 144,04 971,5498 970,1094 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-11 6,765 6,755 143,93 143,93 973,68645 972,24715 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-14 6,76 6,75 143,87 143,87 972,5612 971,1225 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-15 6,815 6,805 144,2 144,2 982,723 981,281 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-16 6,81 6,8 144,21 144,21 982,0701 980,628 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-17 6,795 6,785 144,46 144,46 981,6057 980,1611 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-18 6,828 6,818 144,21 144,21 984,66588 983,22378 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-21 6,908 6,898 144,17 144,17 995,92636 994,48466 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-22 6,928 6,918 144,35 144,35 1000,0568 998,6133 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-23 6,973 6,963 144 144 1004,112 1002,672 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-24 7,008 6,998 144,23 144,23 1010,76384 1009,32154 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-29 7,055 7,045 144,26 144,26 1017,7543 1016,3117 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-30 7,053 7,043 144,33 144,33 1017,95949 1016,51619 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-03-31 7,065 7,055 144,7 144,7 1022,3055 1020,8585 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-01 7,07 7,06 144,98 144,98 1025,0086 1023,5588 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-04 7,113 7,103 144,96 144,96 1031,10048 1029,65088 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-05 7,163 7,153 144,94 144,94 1038,20522 1036,75582 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-06 7,125 7,115 144,96 144,96 1032,84 1031,3904 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-07 7,083 7,073 145,08 145,08 1027,60164 1026,15084 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-08 7,153 7,143 144,86 144,86 1036,18358 1034,73498 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-11 7,098 7,088 145,02 145,02 1029,35196 1027,90176 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-12 7,048 7,038 145,12 145,12 1022,80576 1021,35456 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-13 7,075 7,065 145,35 145,35 1028,35125 1026,89775 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-14 7,12 7,11 145,31 145,31 1034,6072 1033,1541 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-15 7,17 7,16 145,6 145,6 1043,952 1042,496 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-18 7,08 7,07 145,88 145,88 1032,8304 1031,3716 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-19 7,068 7,058 145,92 145,92 1031,36256 1029,90336 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-20 7,043 7,033 145,95 145,95 1027,92585 1026,46635 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-21 7,025 7,015 145,87 145,87 1024,73675 1023,27805 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-22 7,023 7,013 145,97 145,97 1025,14731 1023,68761 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-25 7,04 7,03 146,12 146,12 1028,6848 1027,2236 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-26 7,035 7,025 146,24 146,24 1028,7984 1027,336 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-27 7,085 7,075 146,34 146,34 1036,8189 1035,3555 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-28 7,085 7,075 146,4 146,4 1037,244 1035,78 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-04-29 7,08 7,07 146,37 146,37 1036,2996 1034,8359 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-02 7,15 7,14 146,53 146,53 1047,6895 1046,2242 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-03 7,178 7,168 146,6 146,6 1052,2948 1050,8288 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-04 7,11 7,1 146,4 146,4 1040,904 1039,44 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-06 7,085 7,075 146,32 146,32 1036,6772 1035,214 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-09 7,168 7,158 146,25 146,25 1048,32 1046,8575 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-10 7,178 7,168 146,54 146,54 1051,86412 1050,39872 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-11 7,15 7,14 146,74 146,74 1049,191 1047,7236 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-12 7,243 7,233 146,67 146,67 1062,33081 1060,86411 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-13 7,265 7,255 146,82 146,82 1066,6473 1065,1791 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-16 7,32 7,31 146,7 146,7 1073,844 1072,377 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-17 7,313 7,303 146,63 146,63 1072,30519 1070,83889 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-18 7,3 7,29 146,89 146,89 1072,297 1070,8281 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-19 7,26 7,25 146,93 146,93 1066,7118 1065,2425 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-20 7,28 7,27 146,77 146,77 1068,4856 1067,0179 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-23 7,32 7,31 146,86 146,86 1075,0152 1073,5466 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-24 7,295 7,285 147,15 147,15 1073,45925 1071,98775 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-25 7,298 7,288 147,18 147,18 1074,11964 1072,64784 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-26 7,33 7,32 147,01 147,01 1077,5833 1076,1132 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-27 7,338 7,328 146,91 146,91 1078,02558 1076,55648 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-05-31 7,403 7,393 147,22 147,22 1089,86966 1088,39746 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-01 7,428 7,418 147,43 147,43 1095,11004 1093,63574 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-02 7,473 7,463 147,6 147,6 1103,0148 1101,5388 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-03 7,438 7,428 148,03 148,03 1101,04714 1099,56684 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-07 7,448 7,438 148,14 148,14 1103,34672 1101,86532 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-08 7,435 7,425 148,28 148,28 1102,4618 1100,979 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-09 7,523 7,513 148,13 148,13 1114,38199 1112,90069 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-10 7,525 7,515 147,84 147,84 1112,496 1111,0176 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-13 7,643 7,633 147,84 147,84 1129,94112 1128,46272 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-14 7,663 7,653 147,75 147,75 1132,20825 1130,73075 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-15 7,693 7,683 147,31 147,31 1133,25583 1131,78273 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-16 7,678 7,668 147,16 147,16 1129,89448 1128,42288 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-17 7,643 7,633 147,33 147,33 1126,04319 1124,56989 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-20 7,543 7,533 147,35 147,35 1111,46105 1109,98755 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-21 7,648 7,638 147,81 147,81 1130,45088 1128,97278 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-22 7,608 7,598 148,26 148,26 1127,96208 1126,47948 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-23 7,73 7,72 148,32 148,32 1146,5136 1145,0304 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-27 7,73 7,72 148,66 148,66 1149,1418 1147,6552 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-28 7,76 7,75 148,42 148,42 1151,7392 1150,255 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-29 7,833 7,823 148,51 148,51 1163,27883 1161,79373 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-06-30 7,823 7,813 148,44 148,44 1161,24612 1159,76172 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-01 7,858 7,848 148,59 148,59 1167,62022 1166,13432 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-05 7,963 7,953 148,01 148,01 1178,60363 1177,12353 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-06 7,895 7,885 148,02 148,02 1168,6179 1167,1377 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-07 7,878 7,868 148,22 148,22 1167,67716 1166,19496 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-08 7,913 7,903 148,29 148,29 1173,41877 1171,93587 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-11 7,89 7,88 148,02 148,02 1167,8778 1166,3976 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-12 7,77 7,76 147,99 147,99 1149,8823 1148,4024 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-13 7,703 7,693 147,82 147,82 1138,65746 1137,17926 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-14 7,76 7,75 147,67 147,67 1145,9192 1144,4425 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-15 7,76 7,75 147,62 147,62 1145,5312 1144,055 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-18 7,78 7,77 147,83 147,83 1150,1174 1148,6391 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-19 7,878 7,868 147,69 147,69 1163,50182 1162,02492 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-20 7,818 7,808 147,74 147,74 1155,03132 1153,55392 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-21 7,775 7,765 147,75 147,75 1148,75625 1147,27875 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-22 7,758 7,748 147,94 147,94 1147,71852 1146,23912 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-25 7,838 7,828 148,04 148,04 1160,33752 1158,85712 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-26 7,818 7,808 147,86 147,86 1155,96948 1154,49088 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-27 7,905 7,895 147,94 147,94 1169,4657 1167,9863 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-28 7,848 7,838 147,95 147,95 1161,1116 1159,6321 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-07-29 7,748 7,738 148,01 148,01 1146,78148 1145,30138 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-01 7,72 7,71 147,66 147,66 1139,9352 1138,4586 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-02 7,7 7,69 147,46 147,46 1135,442 1133,9674 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-03 7,685 7,675 147,46 147,46 1133,2301 1131,7555 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-04 7,618 7,608 147,53 147,53 1123,88354 1122,40824 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-05 7,548 7,538 147,26 147,26 1111,51848 1110,04588 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-08 7,558 7,548 147,22 147,22 1112,68876 1111,21656 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-09 7,548 7,538 147,27 147,27 1111,59396 1110,12126 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-10 7,558 7,548 147,41 147,41 1114,12478 1112,65068 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-11 7,523 7,513 147,38 147,38 1108,73974 1107,26594 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-12 7,46 7,45 147,64 147,64 1101,3944 1099,918 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-15 7,508 7,498 147,78 147,78 1109,53224 1108,05444 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-16 7,523 7,513 147,94 147,94 1112,95262 1111,47322 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-17 7,605 7,595 148,08 148,08 1126,1484 1124,6676 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-18 7,61 7,6 148,17 148,17 1127,5737 1126,092 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-19 7,698 7,688 148,21 148,21 1140,92058 1139,43848 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-22 7,69 7,68 148,11 148,11 1138,9659 1137,4848 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-23 7,663 7,653 148,31 148,31 1136,49953 1135,01643 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-24 7,673 7,663 148,53 148,53 1139,67069 1138,18539 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-25 7,588 7,578 148,66 148,66 1128,03208 1126,54548 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-26 7,578 7,568 148,76 148,76 1127,30328 1125,81568 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-29 7,573 7,563 148,87 148,87 1127,39251 1125,90381 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-30 7,633 7,623 148,79 148,79 1135,71407 1134,22617 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-08-31 7,668 7,658 148,99 148,99 1142,45532 1140,96542 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-01 7,568 7,558 149,33 149,33 1130,12944 1128,63614 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-02 7,435 7,425 149,52 149,52 1111,6812 1110,186 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-06 7,485 7,475 149,55 149,55 1119,38175 1117,88625 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-07 7,43 7,42 149,35 149,35 1109,6705 1108,177 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-08 7,498 7,488 149,44 149,44 1120,50112 1119,00672 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-09 7,523 7,513 149,5 149,5 1124,6885 1123,1935 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-12 7,555 7,545 149,13 149,13 1126,67715 1125,18585 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-13 7,57 7,56 149,18 149,18 1129,2926 1127,8008 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-14 7,61 7,6 149,3 149,3 1136,173 1134,68 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-15 7,658 7,648 149,16 149,16 1142,26728 1140,77568 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-16 7,613 7,603 149 149 1134,337 1132,847 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-19 7,698 7,688 149,1 149,1 1147,7718 1146,2808 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-20 7,688 7,678 149,28 149,28 1147,66464 1146,17184 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-21 7,663 7,653 149,54 149,54 1145,92502 1144,42962 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-22 7,648 7,638 149,56 149,56 1143,83488 1142,33928 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-23 7,733 7,723 149,45 149,45 1155,69685 1154,20235 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-26 7,798 7,788 149,09 149,09 1162,60382 1161,11292 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-27 7,825 7,815 149,12 149,12 1166,864 1165,3728 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-28 7,81 7,8 148,94 148,94 1163,2214 1161,732 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-29 7,785 7,775 148,92 148,92 1159,3422 1157,853 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-09-30 7,785 7,775 149,01 149,01 1160,04285 1158,55275 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-03 7,783 7,773 148,79 148,79 1158,03257 1156,54467 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-04 7,82 7,81 148,72 148,72 1162,9904 1161,5032 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-05 7,795 7,785 148,83 148,83 1160,12985 1158,64155 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-06 7,713 7,703 148,84 148,84 1148,00292 1146,51452 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-07 7,683 7,673 148,65 148,65 1142,07795 1140,59145 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-11 7,77 7,76 148,76 148,76 1155,8652 1154,3776 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-12 7,805 7,795 148,59 148,59 1159,74495 1158,25905 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-13 7,83 7,82 148,19 148,19 1160,3277 1158,8458 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-14 7,833 7,823 148,13 148,13 1160,30229 1158,82099 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-17 7,835 7,825 148,09 148,09 1160,28515 1158,80425 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-18 7,893 7,883 148,12 148,12 1169,11116 1167,62996 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-19 7,96 7,95 148,45 148,45 1181,662 1180,1775 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-20 7,93 7,92 148,2 148,2 1175,226 1173,744 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-21 7,883 7,873 148,56 148,56 1171,09848 1169,61288 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-24 7,995 7,985 148,6 148,6 1188,057 1186,571 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-25 7,99 7,98 148,38 148,38 1185,5562 1184,0724 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-26 7,868 7,858 147,81 147,81 1162,96908 1161,49098 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-27 7,868 7,858 147,88 147,88 1163,51984 1162,04104 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-28 7,825 7,815 147,86 147,86 1157,0045 1155,5259 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-10-31 7,905 7,895 147,79 147,79 1168,27995 1166,80205 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-01 7,963 7,953 147,76 147,76 1176,61288 1175,13528 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-02 7,98 7,97 147,5 147,5 1177,05 1175,575 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-03 8,01 8 147,57 147,57 1182,0357 1180,56 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-04 8,028 8,018 147,4 147,4 1183,3272 1181,8532 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-07 8,135 8,125 147,27 147,27 1198,04145 1196,56875 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-08 8,17 8,16 147,43 147,43 1204,5031 1203,0288 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-09 8,12 8,11 147,3 147,3 1196,076 1194,603 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-10 8,173 8,163 147,3 147,3 1203,8829 1202,4099 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-14 8,133 8,123 147,58 147,58 1200,26814 1198,79234 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-15 8,185 8,175 147,52 147,52 1207,4512 1205,976 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-16 8,21 8,2 147,88 147,88 1214,0948 1212,616 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-17 8,258 8,248 147,89 147,89 1221,27562 1219,79672 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-18 8,223 8,213 147,71 147,71 1214,61933 1213,14223 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-21 8,123 8,113 147,76 147,76 1200,25448 1198,77688 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-22 8,15 8,14 147,85 147,85 1204,9775 1203,499 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-23 8,048 8,038 148 148 1191,104 1189,624 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-25 8,078 8,068 148,36 148,36 1198,45208 1196,96848 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-28 8,118 8,108 148,29 148,29 1203,81822 1202,33532 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-29 8,015 8,005 148,39 148,39 1189,34585 1187,86195 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-11-30 8,088 8,078 148,2 148,2 1198,6416 1197,1596 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-01 8,083 8,073 148,44 148,44 1199,84052 1198,35612 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-02 8,103 8,093 148,22 148,22 1201,02666 1199,54446 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-05 8,045 8,035 148,2 148,2 1192,269 1190,787 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-06 7,993 7,983 148,31 148,31 1185,44183 1183,95873 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-07 8,015 8,005 148,41 148,41 1189,50615 1188,02205 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-08 7,988 7,978 148,41 148,41 1185,49908 1184,01498 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-12 7,953 7,943 148,14 148,14 1178,15742 1176,67602 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-13 7,905 7,895 148,28 148,28 1172,1534 1170,6706 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-14 7,848 7,838 148,53 148,53 1165,66344 1164,17814 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-15 7,858 7,848 148,61 148,61 1167,77738 1166,29128 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-16 7,903 7,893 148,73 148,73 1175,41319 1173,92589 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-19 7,865 7,855 148,72 148,72 1169,6828 1168,1956 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-20 7,848 7,838 148,7 148,7 1166,9976 1165,5106 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-21 7,948 7,938 148,59 148,59 1180,99332 1179,50742 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-22 7,98 7,97 148,68 148,68 1186,4664 1184,9796 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-23 7,955 7,945 148,64 148,64 1182,4312 1180,9448 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-27 8,01 8 148,91 148,91 1192,7691 1191,28 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-28 7,915 7,905 149,06 149,06 1179,8099 1178,3193 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-29 7,938 7,928 149,04 149,04 1183,07952 1181,58912 747956 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Bond Fund (USD) USD 2005-12-30 7,958 7,948 149,27 149,27 1187,89066 1186,39796 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-03 9,0065 9,0015 101,72 101,72 916,14118 915,63258 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-04 9,0345 9,0295 101,92 101,92 920,79624 920,28664 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-05 9,0615 9,0565 101,7 101,7 921,55455 921,04605 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-07 9,0615 9,0565 102,2 102,2 926,0853 925,5743 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-10 9,08619 9,08119 102,43 102,43 930,6984417 930,1862917 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-11 9,08619 9,08119 102,16 102,16 928,2451704 927,7343704 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-12 9,0455 9,0405 101,46 101,46 917,75643 917,24913 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-13 9,0505 9,0455 101,78 101,78 921,15989 920,65099 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-14 9,0455 9,0405 102,32 102,32 925,53556 925,02396 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-17 9,0685 9,0635 102,82 102,82 932,42317 931,90907 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-18 9,0585 9,0535 102,76 102,76 930,85146 930,33766 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-19 9,0225 9,0175 103,19 103,19 931,031775 930,515825 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-20 9,0315 9,0265 102,64 102,64 926,99316 926,47996 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-21 9,0505 9,0455 102,42 102,42 926,95221 926,44011 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-24 9,0655 9,0605 102,1 102,1 925,58755 925,07705 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-25 9,0715 9,0665 102,53 102,53 930,100895 929,588245 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-26 9,0885 9,0835 102,81 102,81 934,388685 933,874635 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-27 9,0675 9,0625 102,7 102,7 931,23225 930,71875 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-28 9,0955 9,0905 102,84 102,84 935,38122 934,86702 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-01-31 9,1075 9,1025 103,23 103,23 940,167225 939,651075 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-01 9,1035 9,0985 103,5 103,5 942,21225 941,69475 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-02 9,0905 9,0855 103,86 103,86 944,13933 943,62003 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-03 9,0695 9,0645 104,09 104,09 944,044255 943,523805 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-04 9,0895 9,0845 104,51 104,51 949,943645 949,421095 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-07 9,0755 9,0705 105,49 105,49 957,374495 956,847045 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-08 9,0895 9,0845 105,74 105,74 961,12373 960,59503 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-09 9,0695 9,0645 105,81 105,81 959,643795 959,114745 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-10 9,0805 9,0755 105,44 105,44 957,44792 956,92072 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-11 9,0935 9,0885 105,55 105,55 959,818925 959,291175 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-14 9,1105 9,1055 105,85 105,85 964,346425 963,817175 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-15 9,0765 9,0715 106 106 962,109 961,579 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-16 9,0705 9,0655 105,65 105,65 958,298325 957,770075 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-17 9,0925 9,0875 105,82 105,82 962,16835 961,63925 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-18 9,0945 9,0895 105,47 105,47 959,196915 958,669565 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-21 9,1185 9,1135 105,54 105,54 962,36649 961,83879 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-22 9,0975 9,0925 104,53 104,53 950,961675 950,439025 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-23 9,1045 9,0995 104,04 104,04 947,23218 946,71198 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-24 9,0715 9,0665 104,11 104,11 944,433865 943,913315 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-25 9,0845 9,0795 104,84 104,84 952,41898 951,89478 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-02-28 9,0505 9,0455 105,31 105,31 953,108155 952,581605 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-01 9,0565 9,0515 105,47 105,47 955,189055 954,661705 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-02 9,0645 9,0595 105,58 105,58 957,02991 956,50201 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-03 9,0675 9,0625 105,99 105,99 961,064325 960,534375 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-04 9,0415 9,0365 106,1 106,1 959,30315 958,77265 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-07 9,0425 9,0375 106,37 106,37 961,850725 961,318875 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-08 9,0345 9,0295 105,79 105,79 955,759755 955,230805 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-09 9,0365 9,0315 105,35 105,35 951,995275 951,468525 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-10 9,0655 9,0605 104,75 104,75 949,611125 949,087375 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-11 9,0795 9,0745 104,83 104,83 951,803985 951,279835 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-14 9,0695 9,0645 104,47 104,47 947,490665 946,968315 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-15 9,1035 9,0985 105,31 105,31 958,689585 958,163035 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-16 9,0975 9,0925 104,43 104,43 950,051925 949,529775 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-17 9,1045 9,0995 104,26 104,26 949,23517 948,71387 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-18 9,1035 9,0985 104,75 104,75 953,591625 953,067875 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-21 9,1265 9,1215 104,97 104,97 958,008705 957,483855 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-22 9,1265 9,1215 104,77 104,77 956,183405 955,659555 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-23 9,1165 9,1115 104,43 104,43 952,036095 951,513945 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-24 9,1135 9,1085 104,79 104,79 955,003665 954,479715 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-29 9,1315 9,1265 104,78 104,78 956,79857 956,27467 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-30 9,1425 9,1375 104,14 104,14 952,09995 951,57925 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-03-31 9,1405 9,1355 105,02 105,02 959,93531 959,41021 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-01 9,1645 9,1595 105,28 105,28 964,83856 964,31216 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-04 9,1695 9,1645 105,24 105,24 964,99818 964,47198 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-05 9,1745 9,1695 105,93 105,93 971,854785 971,325135 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-06 9,1705 9,1655 106,05 106,05 972,531525 972,001275 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-07 9,1505 9,1455 106,06 106,06 970,50203 969,97173 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-08 9,1625 9,1575 106,74 106,74 978,00525 977,47155 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-11 9,1705 9,1655 106,03 106,03 972,348115 971,817965 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-12 9,1525 9,1475 105,82 105,82 968,51755 967,98845 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-13 9,1495 9,1445 106,23 106,23 971,951385 971,420235 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-14 9,1685 9,1635 106,13 106,13 973,052905 972,522255 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-15 9,1925 9,1875 104,78 104,78 963,19015 962,66625 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-18 9,1805 9,1755 102,86 102,86 944,30623 943,79193 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-19 9,2035 9,1985 103,52 103,52 952,74632 952,22872 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-20 9,1915 9,1865 103,18 103,18 948,37897 947,86307 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-21 9,1855 9,1805 102,95 102,95 945,647225 945,132475 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-22 9,1625 9,1575 103,38 103,38 947,21925 946,70235 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-25 9,1685 9,1635 103,95 103,95 953,065575 952,545825 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-26 9,1375 9,1325 103,7 103,7 947,55875 947,04025 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-27 9,1465 9,1415 102,95 102,95 941,632175 941,117425 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-28 9,1505 9,1455 102,96 102,96 942,13548 941,62068 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-04-29 9,1705 9,1655 103,15 103,15 945,937075 945,421325 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-02 9,1935 9,1885 103,55 103,55 951,986925 951,469175 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-03 9,2245 9,2195 103,39 103,39 953,721055 953,204105 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-04 9,1915 9,1865 103,36 103,36 950,03344 949,51664 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-06 9,1715 9,1665 103,83 103,83 952,276845 951,757695 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-09 9,1815 9,1765 103,8 103,8 953,0397 952,5207 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-10 9,1985 9,1935 103,7 103,7 953,88445 953,36595 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-11 9,2105 9,2055 103,65 103,65 954,668325 954,150075 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-12 9,2315 9,2265 103,78 103,78 958,04507 957,52617 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-13 9,2045 9,1995 103,42 103,42 951,92939 951,41229 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-16 9,2145 9,2095 103,35 103,35 952,318575 951,801825 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-17 9,2325 9,2275 103,56 103,56 956,1177 955,5999 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-18 9,2095 9,2045 104,1 104,1 958,70895 958,18845 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-19 9,1905 9,1855 104,39 104,39 959,396295 958,874345 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-20 9,1955 9,1905 104,38 104,38 959,82629 959,30439 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-23 9,1805 9,1755 104,56 104,56 959,91308 959,39028 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-24 9,1815 9,1765 104,75 104,75 961,762125 961,238375 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-25 9,1785 9,1735 104,66 104,66 960,62181 960,09851 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-26 9,1945 9,1895 104,85 104,85 964,043325 963,519075 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-27 9,1955 9,1905 105,08 105,08 966,26314 965,73774 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-30 9,1905 9,1855 105,34 105,34 968,12727 967,60057 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-05-31 9,1665 9,1615 105,35 105,35 965,690775 965,164025 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-01 9,1455 9,1405 105,56 105,56 965,39898 964,87118 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-02 9,1565 9,1515 105,97 105,97 970,314305 969,784455 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-03 9,1315 9,1265 106,11 106,11 968,943465 968,412915 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-07 9,1455 9,1405 106,32 106,32 972,34956 971,81796 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-08 9,1455 9,1405 106,27 106,27 971,892285 971,360935 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-09 9,1965 9,1915 105,97 105,97 974,553105 974,023255 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-10 9,1975 9,1925 106,29 106,29 977,602275 977,070825 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-13 9,2365 9,2315 106,29 106,29 981,747585 981,216135 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-14 9,2985 9,2935 106,56 106,56 990,84816 990,31536 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-15 9,2695 9,2645 106,62 106,62 988,31409 987,78099 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-16 9,2695 9,2645 106,66 106,66 988,68487 988,15157 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-17 9,2695 9,2645 107,34 107,34 994,98813 994,45143 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-20 9,2255 9,2205 107,03 107,03 987,405265 986,870115 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-21 9,2725 9,2675 107,13 107,13 993,362925 992,827275 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-22 9,2615 9,2565 107,49 107,49 995,518635 994,981185 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-23 9,3535 9,3485 107,4 107,4 1004,5659 1004,0289 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-27 9,3855 9,3805 106,69 106,69 1001,338995 1000,805545 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-28 9,3995 9,3945 107 107 1005,7465 1005,2115 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-29 9,4215 9,4165 107,28 107,28 1010,73852 1010,20212 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-06-30 9,4415 9,4365 107,37 107,37 1013,733855 1013,197005 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-01 9,4595 9,4545 107,22 107,22 1014,24759 1013,71149 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-04 9,4795 9,4745 107,48 107,48 1018,85666 1018,31926 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-05 9,4575 9,4525 107,31 107,31 1014,884325 1014,347775 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-06 9,4195 9,4145 107,86 107,86 1015,98727 1015,44797 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-07 9,3965 9,3915 107,01 107,01 1005,519465 1004,984415 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-08 9,4175 9,4125 107,76 107,76 1014,8298 1014,291 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-11 9,4665 9,4615 108,15 108,15 1023,801975 1023,261225 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-12 9,4645 9,4595 108,18 108,18 1023,86961 1023,32871 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-13 9,3915 9,3865 108,33 108,33 1017,381195 1016,839545 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-14 9,3675 9,3625 108,47 108,47 1016,092725 1015,550375 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-15 9,4055 9,4005 108,2 108,2 1017,6751 1017,1341 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-18 9,3895 9,3845 108,25 108,25 1016,413375 1015,872125 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-19 9,4425 9,4375 108,37 108,37 1023,283725 1022,741875 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-20 9,4265 9,4215 108,52 108,52 1022,96378 1022,42118 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-21 9,4625 9,4575 108,74 108,74 1028,95225 1028,40855 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-22 9,4495 9,4445 108,66 108,66 1026,78267 1026,23937 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-25 9,4275 9,4225 108,87 108,87 1026,371925 1025,827575 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-26 9,4155 9,4105 108,73 108,73 1023,747315 1023,203665 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-27 9,4725 9,4675 109,03 109,03 1032,786675 1032,241525 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-28 9,4515 9,4465 109,23 109,23 1032,387345 1031,841195 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-07-29 9,3885 9,3835 109,31 109,31 1026,256935 1025,710385 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-01 9,3985 9,3935 109,15 109,15 1025,846275 1025,300525 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-02 9,3995 9,3945 109,24 109,24 1026,80138 1026,25518 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-03 9,3755 9,3705 109,38 109,38 1025,49219 1024,94529 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-04 9,3735 9,3685 109,1 109,1 1022,64885 1022,10335 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-05 9,3355 9,3305 108,71 108,71 1014,862205 1014,318655 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-08 9,3335 9,3285 108,82 108,82 1015,67147 1015,12737 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-09 9,3455 9,3405 108,9 108,9 1017,72495 1017,18045 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-10 9,3535 9,3485 109,31 109,31 1022,431085 1021,884535 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-11 9,3365 9,3315 109,36 109,36 1021,03964 1020,49284 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-12 9,3025 9,2975 109,41 109,41 1017,786525 1017,239475 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-15 9,3065 9,3015 109,44 109,44 1018,50336 1017,95616 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-16 9,2995 9,2945 109,45 109,45 1017,830275 1017,283025 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-17 9,3405 9,3355 109,08 109,08 1018,86174 1018,31634 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-18 9,3365 9,3315 108,96 108,96 1017,30504 1016,76024 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-19 9,3395 9,3345 109,16 109,16 1019,49982 1018,95402 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-22 9,3655 9,3605 109,62 109,62 1026,64611 1026,09801 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-23 9,3715 9,3665 109,37 109,37 1024,960955 1024,414105 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-24 9,3365 9,3315 109,19 109,19 1019,452435 1018,906485 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-25 9,3335 9,3285 109,09 109,09 1018,191515 1017,646065 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-26 9,3415 9,3365 109,09 109,09 1019,064235 1018,518785 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-29 9,3295 9,3245 109,05 109,05 1017,381975 1016,836725 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-30 9,3285 9,3235 109,16 109,16 1018,29906 1017,75326 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-08-31 9,3585 9,3535 109,31 109,31 1022,977635 1022,431085 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-01 9,3365 9,3315 109,71 109,71 1024,307415 1023,758865 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-02 9,3025 9,2975 109,66 109,66 1020,11215 1019,56385 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-05 9,2845 9,2795 109,84 109,84 1019,80948 1019,26028 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-06 9,3225 9,3175 109,82 109,82 1023,79695 1023,24785 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-07 9,3075 9,3025 110,09 110,09 1024,662675 1024,112225 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-08 9,3255 9,3205 109,97 109,97 1025,525235 1024,975385 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-09 9,3445 9,3395 110,29 110,29 1030,604905 1030,053455 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-12 9,3015 9,2965 110,71 110,71 1029,769065 1029,215515 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-13 9,3015 9,2965 110,17 110,17 1024,746255 1024,195405 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-14 9,3365 9,3315 110,4 110,4 1030,7496 1030,1976 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-15 9,3425 9,3375 110,62 110,62 1033,46735 1032,91425 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-16 9,3465 9,3415 110,66 110,66 1034,28369 1033,73039 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-19 9,3355 9,3305 110,83 110,83 1034,653465 1034,099315 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-20 9,3395 9,3345 111,18 111,18 1038,36561 1037,80971 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-21 9,3405 9,3355 110,89 110,89 1035,768045 1035,213595 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-22 9,3405 9,3355 110,71 110,71 1034,086755 1033,533205 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-23 9,3695 9,3645 110,65 110,65 1036,735175 1036,181925 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-26 9,3815 9,3765 111,05 111,05 1041,815575 1041,260325 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-27 9,3885 9,3835 111,07 111,07 1042,780695 1042,225345 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-28 9,3935 9,3885 111,34 111,34 1045,87229 1045,31559 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-29 9,3845 9,3795 111,47 111,47 1046,090215 1045,532865 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-09-30 9,3435 9,3385 111,58 111,58 1042,54773 1041,98983 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-03 9,3025 9,2975 111,9 111,9 1040,94975 1040,39025 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-04 9,3185 9,3135 111,87 111,87 1042,460595 1041,901245 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-05 9,3105 9,3055 111,37 111,37 1036,910385 1036,353535 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-06 9,3015 9,2965 110,24 110,24 1025,39736 1024,84616 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-07 9,3385 9,3335 110,42 110,42 1031,15717 1030,60507 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-10 9,3465 9,3415 110,47 110,47 1032,507855 1031,955505 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-11 9,3395 9,3345 110,84 110,84 1035,19018 1034,63598 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-12 9,3375 9,3325 110,51 110,51 1031,887125 1031,334575 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-13 9,3815 9,3765 109,77 109,77 1029,807255 1029,258405 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-14 9,4135 9,4085 109,68 109,68 1032,47268 1031,92428 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-17 9,4575 9,4525 109,79 109,79 1038,338925 1037,789975 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-18 9,4625 9,4575 109,72 109,72 1038,2255 1037,6769 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-19 9,4605 9,4555 109,09 109,09 1032,045945 1031,500495 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-20 9,4935 9,4885 109,3 109,3 1037,63955 1037,09305 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-21 9,4915 9,4865 109,03 109,03 1034,858245 1034,313095 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-24 9,5455 9,5405 109,27 109,27 1043,036785 1042,490435 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-25 9,5465 9,5415 109,42 109,42 1044,57803 1044,03093 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-26 9,4975 9,4925 109,41 109,41 1039,121475 1038,574425 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-27 9,5355 9,5305 109,27 109,27 1041,944085 1041,397735 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-28 9,5135 9,5085 109,11 109,11 1038,017985 1037,472435 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-10-31 9,5495 9,5445 109,82 109,82 1048,72609 1048,17699 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-01 9,5495 9,5445 110,08 110,08 1051,20896 1050,65856 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-02 9,5855 9,5805 110,05 110,05 1054,884275 1054,334025 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-03 9,6515 9,6465 110,56 110,56 1067,06984 1066,51704 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-04 9,5875 9,5825 110,68 110,68 1061,1445 1060,5911 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-07 9,6075 9,6025 110,65 110,65 1063,069875 1062,516625 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-08 9,5685 9,5635 110,6 110,6 1058,2761 1057,7231 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-09 9,5575 9,5525 110,51 110,51 1056,199325 1055,646775 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-10 9,6105 9,6055 110,5 110,5 1061,96025 1061,40775 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-11 9,6365 9,6315 110,76 110,76 1067,33874 1066,78494 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-14 9,5505 9,5455 110,72 110,72 1057,43136 1056,87776 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-15 9,5805 9,5755 110,52 110,52 1058,83686 1058,28426 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-16 9,6235 9,6185 110,59 110,59 1064,262865 1063,709915 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-17 9,6355 9,6305 110,99 110,99 1069,444145 1068,889195 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-18 9,6085 9,6035 111,2 111,2 1068,4652 1067,9092 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-21 9,5915 9,5865 111,12 111,12 1065,80748 1065,25188 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-22 9,5585 9,5535 111,31 111,31 1063,956635 1063,400085 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-23 9,5155 9,5105 111,5 111,5 1060,97825 1060,42075 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-24 9,5125 9,5075 111,52 111,52 1060,834 1060,2764 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-25 9,4965 9,4915 111,66 111,66 1060,37919 1059,82089 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-28 9,4835 9,4785 111,69 111,69 1059,212115 1058,653665 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-29 9,4785 9,4735 111,53 111,53 1057,137105 1056,579455 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-11-30 9,5295 9,5245 111,37 111,37 1061,300415 1060,743565 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-01 9,5165 9,5115 111,71 111,71 1063,088215 1062,529665 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-02 9,4905 9,4855 112,11 112,11 1063,979955 1063,419405 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-05 9,4065 9,4015 112,19 112,19 1055,315235 1054,754285 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-06 9,4185 9,4135 112,25 112,25 1057,226625 1056,665375 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-07 9,4255 9,4205 112,37 112,37 1059,143435 1058,581585 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-08 9,3965 9,3915 111,95 111,95 1051,938175 1051,378425 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-12 9,4315 9,4265 112,27 112,27 1058,874505 1058,313155 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-13 9,4295 9,4245 112,24 112,24 1058,36708 1057,80588 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-14 9,4365 9,4315 112,34 112,34 1060,09641 1059,53471 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-15 9,4345 9,4295 112,25 112,25 1059,022625 1058,461375 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-16 9,4765 9,4715 112,29 112,29 1064,116185 1063,554735 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-19 9,4535 9,4485 112,27 112,27 1061,344445 1060,783095 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-20 9,4015 9,3965 112,29 112,29 1055,694435 1055,132985 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-21 9,4485 9,4435 112,71 112,71 1064,940435 1064,376885 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-22 9,4365 9,4315 112,74 112,74 1063,87101 1063,30731 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-23 9,4425 9,4375 112,86 112,86 1065,68055 1065,11625 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-27 9,4915 9,4865 112,94 112,94 1071,97001 1071,40531 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-28 9,4345 9,4295 112,75 112,75 1063,739875 1063,176125 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-29 9,4115 9,4065 112,95 112,95 1063,028925 1062,464175 924688 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Appreciation Fund EUR 2005-12-30 9,4325 9,4275 112,79 112,79 1063,891675 1063,327725 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-03 9,0065 9,0015 932,68 932,68 8400,18242 8395,51902 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-04 9,0345 9,0295 932,71 932,71 8426,568495 8421,904945 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-05 9,0615 9,0565 931,1 931,1 8437,16265 8432,50715 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-07 9,0615 9,0565 932,22 932,22 8447,31153 8442,65043 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-10 9,08619 9,08119 932,52 932,52 8473,0538988 8468,3912988 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-11 9,08619 9,08119 931,89 931,89 8467,3295991 8462,6701491 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-12 9,0455 9,0405 930,65 930,65 8418,194575 8413,541325 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-13 9,0505 9,0455 931,83 931,83 8433,527415 8428,868265 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-14 9,0455 9,0405 933,14 933,14 8440,71787 8436,05217 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-17 9,0685 9,0635 934,93 934,93 8478,412705 8473,738055 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-18 9,0585 9,0535 934,41 934,41 8464,352985 8459,680935 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-19 9,0225 9,0175 935,5 935,5 8440,54875 8435,87125 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-20 9,0315 9,0265 933,41 933,41 8430,092415 8425,425365 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-21 9,0505 9,0455 933,24 933,24 8446,28862 8441,62242 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-24 9,0655 9,0605 933,03 933,03 8458,383465 8453,718315 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-25 9,0715 9,0665 934,52 934,52 8477,49818 8472,82558 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-26 9,0885 9,0835 934,72 934,72 8495,20272 8490,52912 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-27 9,0675 9,0625 934,43 934,43 8472,944025 8468,271875 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-28 9,0955 9,0905 935,57 935,57 8509,476935 8504,799085 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-01-31 9,1075 9,1025 936,18 936,18 8526,25935 8521,57845 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-01 9,1035 9,0985 937,38 937,38 8533,43883 8528,75193 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-02 9,0905 9,0855 938,22 938,22 8528,88891 8524,19781 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-03 9,0695 9,0645 938,09 938,09 8508,007255 8503,316805 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-04 9,0895 9,0845 939,45 939,45 8539,130775 8534,433525 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-07 9,0755 9,0705 942,03 942,03 8549,393265 8544,683115 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-08 9,0895 9,0845 941,99 941,99 8562,218105 8557,508155 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-09 9,0695 9,0645 942,73 942,73 8550,089735 8545,376085 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-10 9,0805 9,0755 942,86 942,86 8561,64023 8556,92593 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-11 9,0935 9,0885 943,03 943,03 8575,443305 8570,728155 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-14 9,1105 9,1055 943,88 943,88 8599,21874 8594,49934 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-15 9,0765 9,0715 944,39 944,39 8571,755835 8567,033885 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-16 9,0705 9,0655 943,83 943,83 8561,010015 8556,290865 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-17 9,0925 9,0875 943,96 943,96 8582,9563 8578,2365 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-18 9,0945 9,0895 943,13 943,13 8577,295785 8572,580135 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-21 9,1185 9,1135 942,76 942,76 8596,55706 8591,84326 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-22 9,0975 9,0925 941,63 941,63 8566,478925 8561,770775 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-23 9,1045 9,0995 941,54 941,54 8572,25093 8567,54323 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-24 9,0715 9,0665 942,03 942,03 8545,625145 8540,914995 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-25 9,0845 9,0795 943,67 943,67 8572,770115 8568,051765 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-02-28 9,0505 9,0455 945,26 945,26 8555,07563 8550,34933 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-01 9,0565 9,0515 944,98 944,98 8558,21137 8553,48647 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-02 9,0645 9,0595 944,58 944,58 8562,14541 8557,42251 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-03 9,0675 9,0625 946,84 946,84 8585,4717 8580,7375 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-04 9,0415 9,0365 947,74 947,74 8568,99121 8564,25251 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-07 9,0425 9,0375 948,81 948,81 8579,614425 8574,870375 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-08 9,0345 9,0295 947,9 947,9 8563,80255 8559,06305 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-09 9,0365 9,0315 947,79 947,79 8564,704335 8559,965385 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-10 9,0655 9,0605 945,97 945,97 8575,691035 8570,961185 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-11 9,0795 9,0745 946,39 946,39 8592,748005 8588,016055 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-14 9,0695 9,0645 945,43 945,43 8574,577385 8569,850235 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-15 9,1035 9,0985 946,63 946,63 8617,646205 8612,913055 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-16 9,0975 9,0925 945,07 945,07 8597,774325 8593,048975 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-17 9,1045 9,0995 944,84 944,84 8602,29578 8597,57158 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-18 9,1035 9,0985 945,34 945,34 8605,90269 8601,17599 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-21 9,1265 9,1215 945,48 945,48 8628,92322 8624,19582 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-22 9,1265 9,1215 944,85 944,85 8623,173525 8618,449275 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-23 9,1165 9,1115 943,86 943,86 8604,69969 8599,98039 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-24 9,1135 9,1085 943,57 943,57 8599,225195 8594,507345 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-29 9,1315 9,1265 943,14 943,14 8612,28291 8607,56721 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-30 9,1425 9,1375 942,76 942,76 8619,1833 8614,4695 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-03-31 9,1405 9,1355 944,61 944,61 8634,207705 8629,484655 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-01 9,1645 9,1595 945,66 945,66 8666,50107 8661,77277 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-04 9,1695 9,1645 945,26 945,26 8667,56157 8662,83527 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-05 9,1745 9,1695 945,64 945,64 8675,77418 8671,04598 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-06 9,1705 9,1655 946,45 946,45 8679,419725 8674,687475 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-07 9,1505 9,1455 947,01 947,01 8665,615005 8660,879955 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-08 9,1625 9,1575 948,39 948,39 8689,623375 8684,881425 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-11 9,1705 9,1655 947,67 947,67 8690,607735 8685,869385 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-12 9,1525 9,1475 947,31 947,31 8670,254775 8665,518225 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-13 9,1495 9,1445 947,67 947,67 8670,706665 8665,968315 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-14 9,1685 9,1635 946,89 946,89 8681,560965 8676,826515 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-15 9,1925 9,1875 944,22 944,22 8679,74235 8675,02125 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-18 9,1805 9,1755 939,88 939,88 8628,56834 8623,86894 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-19 9,2035 9,1985 941,15 941,15 8661,874025 8657,168275 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-20 9,1915 9,1865 941,13 941,13 8650,396395 8645,690745 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-21 9,1855 9,1805 941,36 941,36 8646,86228 8642,15548 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-22 9,1625 9,1575 942,78 942,78 8638,22175 8633,50785 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-25 9,1685 9,1635 944,11 944,11 8656,072535 8651,351985 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-26 9,1375 9,1325 944,06 944,06 8626,34825 8621,62795 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-27 9,1465 9,1415 943,05 943,05 8625,606825 8620,891575 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-28 9,1505 9,1455 942,75 942,75 8626,633875 8621,920125 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-04-29 9,1705 9,1655 942,89 942,89 8646,772745 8642,058295 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-02 9,1935 9,1885 944,14 944,14 8679,95109 8675,23039 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-03 9,2245 9,2195 944,23 944,23 8710,049635 8705,328485 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-04 9,1915 9,1865 943,86 943,86 8675,48919 8670,76989 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-06 9,1715 9,1665 946,18 946,18 8677,88987 8673,15897 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-09 9,1815 9,1765 945,82 945,82 8684,04633 8679,31723 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-10 9,1985 9,1935 945,36 945,36 8695,89396 8691,16716 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-11 9,2105 9,2055 945,1 945,1 8704,84355 8700,11805 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-12 9,2315 9,2265 945,41 945,41 8727,552415 8722,825365 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-13 9,2045 9,1995 945,31 945,31 8701,105895 8696,379345 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-16 9,2145 9,2095 944,24 944,24 8700,69948 8695,97828 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-17 9,2325 9,2275 943,8 943,8 8713,6335 8708,9145 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-18 9,2095 9,2045 945,38 945,38 8706,47711 8701,75021 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-19 9,1905 9,1855 947,5 947,5 8707,99875 8703,26125 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-20 9,1955 9,1905 947,98 947,98 8717,15009 8712,41019 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-23 9,1805 9,1755 948,7 948,7 8709,54035 8704,79685 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-24 9,1815 9,1765 949,73 949,73 8719,945995 8715,197345 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-25 9,1785 9,1735 948,87 948,87 8709,203295 8704,458945 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-26 9,1945 9,1895 949,37 949,37 8728,982465 8724,235615 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-27 9,1955 9,1905 950,02 950,02 8735,90891 8731,15881 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-30 9,1905 9,1855 951,48 951,48 8744,57694 8739,81954 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-05-31 9,1665 9,1615 952,71 952,71 8733,016215 8728,252665 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-01 9,1455 9,1405 953,9 953,9 8723,89245 8719,12295 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-02 9,1565 9,1515 954,94 954,94 8743,90811 8739,13341 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-03 9,1315 9,1265 956,2 956,2 8731,5403 8726,7593 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-07 9,1455 9,1405 956,31 956,31 8745,933105 8741,151555 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-08 9,1455 9,1405 956,7 956,7 8749,49985 8744,71635 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-09 9,1965 9,1915 956,23 956,23 8793,969195 8789,188045 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-10 9,1975 9,1925 957,6 957,6 8807,526 8802,738 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-13 9,2365 9,2315 957,6 957,6 8844,8724 8840,0844 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-14 9,2985 9,2935 957,96 957,96 8907,59106 8902,80126 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-15 9,2695 9,2645 957 957 8870,9115 8866,1265 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-16 9,2695 9,2645 957,13 957,13 8872,116535 8867,330885 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-17 9,2695 9,2645 958,9 958,9 8888,52355 8883,72905 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-20 9,2255 9,2205 958,72 958,72 8844,67136 8839,87776 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-21 9,2725 9,2675 959,77 959,77 8899,467325 8894,668475 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-22 9,2615 9,2565 961,09 961,09 8901,135035 8896,329585 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-23 9,3535 9,3485 961 961 8988,7135 8983,9085 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-27 9,3855 9,3805 958,61 958,61 8997,034155 8992,241105 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-28 9,3995 9,3945 959,42 959,42 9018,06829 9013,27119 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-29 9,4215 9,4165 960,22 960,22 9046,71273 9041,91163 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-06-30 9,4415 9,4365 960,35 960,35 9067,144525 9062,342775 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-01 9,4595 9,4545 960,52 960,52 9086,03894 9081,23634 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-04 9,4795 9,4745 961,31 961,31 9112,738145 9107,931595 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-05 9,4575 9,4525 959,89 959,89 9078,159675 9073,360225 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-06 9,4195 9,4145 961,34 961,34 9055,34213 9050,53543 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-07 9,3965 9,3915 959,4 959,4 9015,0021 9010,2051 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-08 9,4175 9,4125 961,51 961,51 9055,020425 9050,212875 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-11 9,4665 9,4615 962,31 962,31 9109,707615 9104,896065 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-12 9,4645 9,4595 961 961 9095,3845 9090,5795 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-13 9,3915 9,3865 962,2 962,2 9036,5013 9031,6903 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-14 9,3675 9,3625 962,88 962,88 9019,7784 9014,964 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-15 9,4055 9,4005 962,49 962,49 9052,699695 9047,887245 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-18 9,3895 9,3845 962,75 962,75 9039,741125 9034,927375 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-19 9,4425 9,4375 963,4 963,4 9096,9045 9092,0875 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-20 9,4265 9,4215 963,68 963,68 9084,12952 9079,31112 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-21 9,4625 9,4575 965,14 965,14 9132,63725 9127,81155 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-22 9,4495 9,4445 965,2 965,2 9120,6574 9115,8314 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-25 9,4275 9,4225 965,91 965,91 9106,116525 9101,286975 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-26 9,4155 9,4105 965,87 965,87 9094,148985 9089,319635 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-27 9,4725 9,4675 966,47 966,47 9154,887075 9150,054725 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-28 9,4515 9,4465 967,26 967,26 9142,05789 9137,22159 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-07-29 9,3885 9,3835 966,81 966,81 9076,895685 9072,061635 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-01 9,3985 9,3935 965,69 965,69 9076,037465 9071,209015 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-02 9,3995 9,3945 966,79 966,79 9087,342605 9082,508655 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-03 9,3755 9,3705 966,4 966,4 9060,4832 9055,6512 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-04 9,3735 9,3685 965,55 965,55 9050,582925 9045,755175 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-05 9,3355 9,3305 964,03 964,03 8999,702065 8994,881915 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-08 9,3335 9,3285 964,71 964,71 9004,120785 8999,297235 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-09 9,3455 9,3405 965,91 965,91 9026,911905 9022,082355 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-10 9,3535 9,3485 967,93 967,93 9053,533255 9048,693605 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-11 9,3365 9,3315 969,17 969,17 9048,655705 9043,809855 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-12 9,3025 9,2975 969,68 969,68 9020,4482 9015,5998 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-15 9,3065 9,3015 970,19 970,19 9029,073235 9024,222285 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-16 9,2995 9,2945 970,35 970,35 9023,769825 9018,918075 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-17 9,3405 9,3355 969,73 969,73 9057,763065 9052,914415 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-18 9,3365 9,3315 969,04 969,04 9047,44196 9042,59676 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-19 9,3395 9,3345 970,54 970,54 9064,35833 9059,50563 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-22 9,3655 9,3605 972,88 972,88 9111,50764 9106,64324 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-23 9,3715 9,3665 971,75 971,75 9106,755125 9101,896375 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-24 9,3365 9,3315 969,63 969,63 9052,950495 9048,102345 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-25 9,3335 9,3285 968,61 968,61 9040,521435 9035,678385 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-26 9,3415 9,3365 968,26 968,26 9045,00079 9040,15949 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-29 9,3295 9,3245 967 967 9021,6265 9016,7915 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-30 9,3285 9,3235 968,44 968,44 9034,09254 9029,25034 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-08-31 9,3585 9,3535 968,63 968,63 9064,923855 9060,080705 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-01 9,3365 9,3315 970,1 970,1 9057,33865 9052,48815 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-02 9,3025 9,2975 970,22 970,22 9025,47155 9020,62045 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-05 9,2845 9,2795 971,66 971,66 9021,37727 9016,51897 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-06 9,3225 9,3175 971,22 971,22 9054,19845 9049,34235 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-07 9,3075 9,3025 972,2 972,2 9048,7515 9043,8905 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-08 9,3255 9,3205 970,99 970,99 9054,967245 9050,112295 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-09 9,3445 9,3395 973,55 973,55 9097,337975 9092,470225 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-12 9,3015 9,2965 976,46 976,46 9082,54269 9077,66039 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-13 9,3015 9,2965 975,35 975,35 9072,218025 9067,341275 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-14 9,3365 9,3315 975,53 975,53 9108,035845 9103,158195 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-15 9,3425 9,3375 977,07 977,07 9128,276475 9123,391125 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-16 9,3465 9,3415 976,34 976,34 9125,36181 9120,48011 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-19 9,3355 9,3305 977,79 977,79 9128,158545 9123,269595 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-20 9,3395 9,3345 979,95 979,95 9152,243025 9147,343275 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-21 9,3405 9,3355 979,19 979,19 9146,124195 9141,228245 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-22 9,3405 9,3355 977,98 977,98 9134,82219 9129,93229 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-23 9,3695 9,3645 977,57 977,57 9159,342115 9154,454265 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-26 9,3815 9,3765 978,74 978,74 9182,04931 9177,15561 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-27 9,3885 9,3835 979,16 979,16 9192,84366 9187,94786 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-28 9,3935 9,3885 980,19 980,19 9207,414765 9202,513815 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-29 9,3845 9,3795 981,24 981,24 9208,44678 9203,54058 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-09-30 9,3435 9,3385 981,48 981,48 9170,45838 9165,55098 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-03 9,3025 9,2975 983,48 983,48 9148,8227 9143,9053 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-04 9,3185 9,3135 983,38 983,38 9163,62653 9158,70963 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-05 9,3105 9,3055 981,73 981,73 9140,397165 9135,488515 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-06 9,3015 9,2965 975,52 975,52 9073,79928 9068,92168 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-07 9,3385 9,3335 975,63 975,63 9110,920755 9106,042605 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-10 9,3465 9,3415 976,8 976,8 9129,6612 9124,7772 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-11 9,3395 9,3345 978,55 978,55 9139,167725 9134,274975 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-12 9,3375 9,3325 976,6 976,6 9119,0025 9114,1195 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-13 9,3815 9,3765 975,09 975,09 9147,806835 9142,931385 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-14 9,4135 9,4085 973,45 973,45 9163,571575 9158,704325 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-17 9,4575 9,4525 973,82 973,82 9209,90265 9205,03355 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-18 9,4625 9,4575 973,63 973,63 9212,973875 9208,105725 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-19 9,4605 9,4555 971,16 971,16 9187,65918 9182,80338 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-20 9,4935 9,4885 971,5 971,5 9222,93525 9218,07775 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-21 9,4915 9,4865 971,61 971,61 9222,036315 9217,178265 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-24 9,5455 9,5405 971,78 971,78 9276,12599 9271,26709 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-25 9,5465 9,5415 971,76 971,76 9276,90684 9272,04804 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-26 9,4975 9,4925 972,29 972,29 9234,324275 9229,462825 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-27 9,5355 9,5305 972,48 972,48 9273,08304 9268,22064 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-28 9,5135 9,5085 971,49 971,49 9242,270115 9237,412665 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-10-31 9,5495 9,5445 974,03 974,03 9301,499485 9296,629335 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-01 9,5495 9,5445 975,62 975,62 9316,68319 9311,80509 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-02 9,5855 9,5805 975,09 975,09 9346,725195 9341,849745 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-03 9,6515 9,6465 976,98 976,98 9429,32247 9424,43757 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-04 9,5875 9,5825 977,24 977,24 9369,2885 9364,4023 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-07 9,6075 9,6025 978,11 978,11 9397,191825 9392,301275 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-08 9,5685 9,5635 978,08 978,08 9358,75848 9353,86808 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-09 9,5575 9,5525 977,52 977,52 9342,6474 9337,7598 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-10 9,6105 9,6055 977,09 977,09 9390,323445 9385,437995 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-11 9,6365 9,6315 978,78 978,78 9432,01347 9427,11957 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-14 9,5505 9,5455 978,26 978,26 9342,87213 9337,98083 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-15 9,5805 9,5755 977,12 977,12 9361,29816 9356,41256 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-16 9,6235 9,6185 978,17 978,17 9413,418995 9408,528145 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-17 9,6355 9,6305 980,95 980,95 9451,943725 9447,038975 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-18 9,6085 9,6035 980,79 980,79 9423,920715 9419,016765 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-21 9,5915 9,5865 980,65 980,65 9405,904475 9401,001225 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-22 9,5585 9,5535 981,99 981,99 9386,351415 9381,441465 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-23 9,5155 9,5105 982,21 982,21 9346,219255 9341,308205 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-24 9,5125 9,5075 983,07 983,07 9351,453375 9346,538025 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-25 9,4965 9,4915 983,62 983,62 9340,94733 9336,02923 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-28 9,4835 9,4785 984,85 984,85 9339,824975 9334,900725 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-29 9,4785 9,4735 984,11 984,11 9327,886635 9322,966085 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-11-30 9,5295 9,5245 983,87 983,87 9375,789165 9370,869815 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-01 9,5165 9,5115 986,2 986,2 9385,1723 9380,2413 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-02 9,4905 9,4855 989,01 989,01 9386,199405 9381,254355 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-05 9,4065 9,4015 988,53 988,53 9298,607445 9293,664795 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-06 9,4185 9,4135 988,04 988,04 9305,85474 9300,91454 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-07 9,4255 9,4205 989,6 989,6 9327,4748 9322,5268 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-08 9,3965 9,3915 987,41 987,41 9278,198065 9273,261015 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-12 9,4315 9,4265 989,19 989,19 9329,545485 9324,599535 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-13 9,4295 9,4245 989,41 989,41 9329,641595 9324,694545 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-14 9,4365 9,4315 988,22 988,22 9325,33803 9320,39693 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-15 9,4345 9,4295 988,97 988,97 9330,437465 9325,492615 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-16 9,4765 9,4715 988,16 988,16 9364,29824 9359,35744 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-19 9,4535 9,4485 989,17 989,17 9351,118595 9346,172745 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-20 9,4015 9,3965 990,12 990,12 9308,61318 9303,66258 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-21 9,4485 9,4435 991,71 991,71 9370,171935 9365,213385 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-22 9,4365 9,4315 992 992 9361,008 9356,048 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-23 9,4425 9,4375 992,43 992,43 9371,020275 9366,058125 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-27 9,4915 9,4865 992,74 992,74 9422,59171 9417,62801 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-28 9,4345 9,4295 992,91 992,91 9367,609395 9362,644845 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-29 9,4115 9,4065 994,13 994,13 9356,254495 9351,283845 960518 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Capital Preservation Fund (Eur) EUR 2005-12-30 9,4325 9,4275 994,09 994,09 9376,753925 9371,783475 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-03 6,668 6,658 121,47 121,47 809,96196 808,74726 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-04 6,728 6,718 121,16 121,16 815,16448 813,95288 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-05 6,828 6,818 119,34 119,34 814,85352 813,66012 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-07 6,87 6,86 119,85 119,85 823,3695 822,171 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-10 6,96091 6,95091 119,29 119,29 830,3669539 829,1740539 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-11 6,96091 6,95091 118,97 118,97 828,1394627 826,9497627 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-12 6,913 6,903 118,85 118,85 821,61005 820,42155 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-13 6,843 6,833 118,32 118,32 809,66376 808,48056 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-14 6,915 6,905 117,71 117,71 813,96465 812,78755 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-18 6,968 6,958 117,23 117,23 816,85864 815,68634 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-19 6,91 6,9 118,7 118,7 820,217 819,03 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-20 6,96 6,95 116,93 116,93 813,8328 812,6635 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-21 6,978 6,968 116,87 116,87 815,51886 814,35016 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-24 6,933 6,923 116,91 116,91 810,53703 809,36793 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-25 6,95 6,94 117,28 117,28 815,096 813,9232 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-26 6,995 6,985 117,45 117,45 821,56275 820,38825 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-27 6,93 6,92 117,06 117,06 811,2258 810,0552 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-28 6,985 6,975 117,12 117,12 818,0832 816,912 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-01-31 6,998 6,988 117,7 117,7 823,6646 822,4876 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-01 6,993 6,983 117,78 117,78 823,63554 822,45774 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-02 6,953 6,943 118,49 118,49 823,86097 822,67607 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-03 6,968 6,958 117,77 117,77 820,62136 819,44366 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-04 7,01 7 118,3 118,3 829,283 828,1 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-07 7,065 7,055 118,6 118,6 837,909 836,723 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-08 7,123 7,113 118,31 118,31 842,72213 841,53903 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-09 7,1 7,09 118,36 118,36 840,356 839,1724 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-10 7,088 7,078 118,91 118,91 842,83408 841,64498 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-11 7,068 7,058 119,13 119,13 842,01084 840,81954 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-14 7,03 7,02 120,33 120,33 845,9199 844,7166 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-15 7,005 6,995 120,56 120,56 844,5228 843,3172 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-16 6,973 6,963 120,09 120,09 837,38757 836,18667 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-17 6,97 6,96 120,16 120,16 837,5152 836,3136 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-18 6,965 6,955 119,77 119,77 834,19805 833,00035 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-22 6,905 6,895 119,07 119,07 822,17835 820,98765 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-23 6,895 6,885 118,35 118,35 816,02325 814,83975 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-24 6,858 6,848 118,34 118,34 811,57572 810,39232 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-25 6,885 6,875 118,82 118,82 818,0757 816,8875 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-02-28 6,828 6,818 119,72 119,72 817,44816 816,25096 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-01 6,87 6,86 119,85 119,85 823,3695 822,171 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-02 6,888 6,878 119,4 119,4 822,4272 821,2332 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-03 6,903 6,893 119,96 119,96 828,08388 826,88428 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-04 6,9 6,89 120,91 120,91 834,279 833,0699 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-07 6,84 6,83 121,17 121,17 828,8028 827,5911 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-08 6,825 6,815 121,55 121,55 829,57875 828,36325 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-09 6,76 6,75 121,39 121,39 820,5964 819,3825 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-10 6,745 6,735 121,35 121,35 818,50575 817,29225 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-11 6,765 6,755 121,73 121,73 823,50345 822,28615 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-14 6,76 6,75 120,76 120,76 816,3376 815,13 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-15 6,815 6,805 121,59 121,59 828,63585 827,41995 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-16 6,81 6,8 120,38 120,38 819,7878 818,584 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-17 6,795 6,785 119,06 119,06 809,0127 807,8221 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-18 6,828 6,818 119,14 119,14 813,48792 812,29652 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-21 6,908 6,898 118,5 118,5 818,598 817,413 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-22 6,928 6,918 118,21 118,21 818,95888 817,77678 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-23 6,973 6,963 115,57 115,57 805,86961 804,71391 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-24 7,008 6,998 116,59 116,59 817,06272 815,89682 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-29 7,055 7,045 116,01 116,01 818,45055 817,29045 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-30 7,053 7,043 115,28 115,28 813,06984 811,91704 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-03-31 7,065 7,055 116,46 116,46 822,7899 821,6253 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-01 7,07 7,06 116,74 116,74 825,3518 824,1844 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-04 7,113 7,103 114,52 114,52 814,58076 813,43556 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-05 7,163 7,153 115,68 115,68 828,61584 827,45904 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-06 7,125 7,115 115,96 115,96 826,215 825,0554 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-07 7,083 7,073 116,46 116,46 824,88618 823,72158 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-08 7,153 7,143 116,79 116,79 835,39887 834,23097 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-11 7,098 7,088 116,85 116,85 829,4013 828,2328 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-12 7,048 7,038 115,89 115,89 816,79272 815,63382 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-13 7,075 7,065 116,62 116,62 825,0865 823,9203 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-14 7,12 7,11 115,4 115,4 821,648 820,494 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-15 7,17 7,16 114,37 114,37 820,0329 818,8892 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-18 7,08 7,07 112,77 112,77 798,4116 797,2839 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-19 7,068 7,058 113,77 113,77 804,12636 802,98866 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-20 7,043 7,033 112,83 112,83 794,66169 793,53339 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-21 7,025 7,015 112,64 112,64 791,296 790,1696 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-22 7,023 7,013 113,3 113,3 795,7059 794,5729 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-25 7,04 7,03 113,14 113,14 796,5056 795,3742 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-26 7,035 7,025 112,88 112,88 794,1108 792,982 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-27 7,085 7,075 111,9 111,9 792,8115 791,6925 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-28 7,085 7,075 111,71 111,71 791,46535 790,34825 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-04-29 7,08 7,07 112,28 112,28 794,9424 793,8196 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-02 7,15 7,14 113,09 113,09 808,5935 807,4626 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-03 7,178 7,168 113,04 113,04 811,40112 810,27072 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-04 7,11 7,1 113,73 113,73 808,6203 807,483 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-06 7,085 7,075 114,66 114,66 812,3661 811,2195 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-09 7,168 7,158 114,18 114,18 818,44224 817,30044 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-10 7,178 7,168 113,43 113,43 814,20054 813,06624 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-11 7,15 7,14 112,88 112,88 807,092 805,9632 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-12 7,243 7,233 113,02 113,02 818,60386 817,47366 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-13 7,265 7,255 111,68 111,68 811,3552 810,2384 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-16 7,32 7,31 111,59 111,59 816,8388 815,7229 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-17 7,313 7,303 111,81 111,81 817,66653 816,54843 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-18 7,3 7,29 112,84 112,84 823,732 822,6036 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-19 7,26 7,25 114,06 114,06 828,0756 826,935 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-20 7,28 7,27 113,51 113,51 826,3528 825,2177 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-23 7,32 7,31 113,83 113,83 833,2356 832,0973 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-24 7,295 7,285 113,74 113,74 829,7333 828,5959 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-25 7,298 7,288 113,65 113,65 829,4177 828,2812 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-26 7,33 7,32 113,06 113,06 828,7298 827,5992 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-27 7,338 7,328 113,66 113,66 834,03708 832,90048 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-05-31 7,403 7,393 113,66 113,66 841,42498 840,28838 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-01 7,428 7,418 113,49 113,49 843,00372 841,86882 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-02 7,473 7,463 114,27 114,27 853,93971 852,79701 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-03 7,438 7,428 114,5 114,5 851,651 850,506 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-07 7,448 7,438 115,03 115,03 856,74344 855,59314 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-08 7,435 7,425 115,44 115,44 858,2964 857,142 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-09 7,523 7,513 114,54 114,54 861,68442 860,53902 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-10 7,525 7,515 114,15 114,15 858,97875 857,83725 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-13 7,643 7,633 114,15 114,15 872,44845 871,30695 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-14 7,663 7,653 114,37 114,37 876,41731 875,27361 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-15 7,693 7,683 115,34 115,34 887,31062 886,15722 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-16 7,678 7,668 115,32 115,32 885,42696 884,27376 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-17 7,643 7,633 116,58 116,58 891,02094 889,85514 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-20 7,543 7,533 115,72 115,72 872,87596 871,71876 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-21 7,648 7,638 115,96 115,96 886,86208 885,70248 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-22 7,608 7,598 116,79 116,79 888,53832 887,37042 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-23 7,73 7,72 116,41 116,41 899,8493 898,6852 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-27 7,73 7,72 115,24 115,24 890,8052 889,6528 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-28 7,76 7,75 115,42 115,42 895,6592 894,505 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-29 7,833 7,823 115,66 115,66 905,96478 904,80818 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-06-30 7,823 7,813 116,57 116,57 911,92711 910,76141 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-01 7,858 7,848 116,28 116,28 913,72824 912,56544 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-05 7,963 7,953 115,11 115,11 916,62093 915,46983 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-06 7,895 7,885 116,13 116,13 916,84635 915,68505 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-07 7,878 7,868 114,11 114,11 898,95858 897,81748 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-08 7,913 7,903 115,49 115,49 913,87237 912,71747 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-11 7,89 7,88 117,19 117,19 924,6291 923,4572 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-12 7,77 7,76 118,09 118,09 917,5593 916,3784 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-13 7,703 7,693 118,14 118,14 910,03242 908,85102 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-14 7,76 7,75 118,99 118,99 923,3624 922,1725 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-15 7,76 7,75 118,44 118,44 919,0944 917,91 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-18 7,78 7,77 118,3 118,3 920,374 919,191 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-19 7,878 7,868 118 118 929,604 928,424 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-20 7,818 7,808 118,11 118,11 923,38398 922,20288 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-21 7,775 7,765 118,73 118,73 923,12575 921,93845 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-22 7,758 7,748 118,4 118,4 918,5472 917,3632 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-25 7,838 7,828 118,35 118,35 927,6273 926,4438 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-26 7,818 7,808 117,83 117,83 921,19494 920,01664 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-27 7,905 7,895 118,42 118,42 936,1101 934,9259 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-28 7,848 7,838 119,05 119,05 934,3044 933,1139 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-07-29 7,748 7,738 119,29 119,29 924,25892 923,06602 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-01 7,72 7,71 119,53 119,53 922,7716 921,5763 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-02 7,7 7,69 119,74 119,74 921,998 920,8006 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-03 7,685 7,675 120,08 120,08 922,8148 921,614 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-04 7,618 7,608 119,42 119,42 909,74156 908,54736 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-05 7,548 7,538 118,87 118,87 897,23076 896,04206 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-08 7,558 7,548 118,98 118,98 899,25084 898,06104 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-09 7,548 7,538 118,72 118,72 896,09856 894,91136 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-10 7,558 7,548 120,65 120,65 911,8727 910,6662 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-11 7,523 7,513 121,05 121,05 910,65915 909,44865 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-12 7,46 7,45 121,49 121,49 906,3154 905,1005 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-15 7,508 7,498 121,29 121,29 910,64532 909,43242 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-16 7,523 7,513 121,46 121,46 913,74358 912,52898 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-17 7,605 7,595 120,35 120,35 915,26175 914,05825 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-18 7,61 7,6 119,54 119,54 909,6994 908,504 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-19 7,698 7,688 119,79 119,79 922,14342 920,94552 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-22 7,69 7,68 121,38 121,38 933,4122 932,1984 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-23 7,663 7,653 120,3 120,3 921,8589 920,6559 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-24 7,673 7,663 120,16 120,16 921,98768 920,78608 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-25 7,588 7,578 119,15 119,15 904,1102 902,9187 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-26 7,578 7,568 119,25 119,25 903,6765 902,484 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-29 7,573 7,563 118,24 118,24 895,43152 894,24912 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-30 7,633 7,623 118,55 118,55 904,89215 903,70665 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-08-31 7,668 7,658 118,78 118,78 910,80504 909,61724 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-01 7,568 7,558 120,25 120,25 910,052 908,8495 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-02 7,435 7,425 120,7 120,7 897,4045 896,1975 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-06 7,485 7,475 121,56 121,56 909,8766 908,661 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-07 7,43 7,42 122,02 122,02 906,6086 905,3884 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-08 7,498 7,488 121,81 121,81 913,33138 912,11328 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-09 7,523 7,513 122,21 122,21 919,38583 918,16373 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-12 7,555 7,545 122,91 122,91 928,58505 927,35595 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-13 7,57 7,56 122,26 122,26 925,5082 924,2856 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-14 7,61 7,6 122,14 122,14 929,4854 928,264 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-15 7,658 7,648 121,76 121,76 932,43808 931,22048 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-16 7,613 7,603 122,35 122,35 931,45055 930,22705 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-19 7,698 7,688 122,46 122,46 942,69708 941,47248 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-20 7,688 7,678 123,33 123,33 948,16104 946,92774 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-21 7,663 7,653 122,26 122,26 936,87838 935,65578 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-22 7,648 7,638 120,8 120,8 923,8784 922,6704 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-23 7,733 7,723 120,79 120,79 934,06907 932,86117 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-26 7,798 7,788 122,52 122,52 955,41096 954,18576 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-27 7,825 7,815 122,03 122,03 954,88475 953,66445 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-28 7,81 7,8 123,78 123,78 966,7218 965,484 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-29 7,785 7,775 124,04 124,04 965,6514 964,411 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-09-30 7,785 7,775 124,78 124,78 971,4123 970,1645 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-03 7,783 7,773 124,48 124,48 968,82784 967,58304 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-04 7,82 7,81 124,33 124,33 972,2606 971,0173 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-05 7,795 7,785 123,22 123,22 960,4999 959,2677 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-06 7,713 7,703 122,28 122,28 943,14564 941,92284 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-07 7,683 7,673 122,3 122,3 939,6309 938,4079 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-10 7,698 7,688 121,98 121,98 939,00204 937,78224 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-11 7,77 7,76 122,84 122,84 954,4668 953,2384 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-12 7,805 7,795 122,48 122,48 955,9564 954,7316 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-13 7,83 7,82 120,75 120,75 945,4725 944,265 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-14 7,833 7,823 121,32 121,32 950,29956 949,08636 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-17 7,835 7,825 121,48 121,48 951,7958 950,581 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-18 7,893 7,883 120,97 120,97 954,81621 953,60651 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-19 7,96 7,95 119,84 119,84 953,9264 952,728 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-20 7,93 7,92 121,71 121,71 965,1603 963,9432 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-21 7,883 7,873 121,41 121,41 957,07503 955,86093 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-24 7,995 7,985 121,74 121,74 973,3113 972,0939 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-25 7,99 7,98 123,11 123,11 983,6489 982,4178 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-26 7,868 7,858 123,09 123,09 968,47212 967,24122 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-27 7,868 7,858 123,74 123,74 973,58632 972,34892 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-28 7,825 7,815 122,78 122,78 960,7535 959,5257 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-10-31 7,905 7,895 124,45 124,45 983,77725 982,53275 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-01 7,963 7,953 125,48 125,48 999,19724 997,94244 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-02 7,98 7,97 126,15 126,15 1006,677 1005,4155 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-03 8,01 8 127,48 127,48 1021,1148 1019,84 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-04 8,028 8,018 127,86 127,86 1026,46008 1025,18148 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-07 8,135 8,125 127,58 127,58 1037,8633 1036,5875 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-08 8,17 8,16 127,32 127,32 1040,2044 1038,9312 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-09 8,12 8,11 127,28 127,28 1033,5136 1032,2408 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-10 8,173 8,163 128,05 128,05 1046,55265 1045,27215 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-11 8,235 8,225 129,85 129,85 1069,31475 1068,01625 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-14 8,133 8,123 129,43 129,43 1052,65419 1051,35989 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-15 8,185 8,175 128,95 128,95 1055,45575 1054,16625 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-16 8,21 8,2 128,48 128,48 1054,8208 1053,536 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-17 8,258 8,248 129,69 129,69 1070,98002 1069,68312 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-18 8,223 8,213 131,76 131,76 1083,46248 1082,14488 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-21 8,123 8,113 131,58 131,58 1068,82434 1067,50854 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-22 8,15 8,14 130,8 130,8 1066,02 1064,712 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-23 8,048 8,038 132,61 132,61 1067,24528 1065,91918 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-25 8,078 8,068 133,02 133,02 1074,53556 1073,20536 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-28 8,118 8,108 132,85 132,85 1078,4763 1077,1478 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-29 8,015 8,005 133,02 133,02 1066,1553 1064,8251 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-11-30 8,088 8,078 132,26 132,26 1069,71888 1068,39628 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-01 8,083 8,073 132,83 132,83 1073,66489 1072,33659 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-02 8,103 8,093 133,41 133,41 1081,02123 1079,68713 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-05 8,045 8,035 134,35 134,35 1080,84575 1079,50225 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-06 7,993 7,983 134,99 134,99 1078,97507 1077,62517 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-07 8,015 8,005 134,81 134,81 1080,50215 1079,15405 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-08 7,988 7,978 133,64 133,64 1067,51632 1066,17992 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-12 7,953 7,943 136,33 136,33 1084,23249 1082,86919 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-13 7,905 7,895 135,86 135,86 1073,9733 1072,6147 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-14 7,848 7,838 137 137 1075,176 1073,806 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-15 7,858 7,848 136,43 136,43 1072,06694 1070,70264 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-16 7,903 7,893 137,34 137,34 1085,39802 1084,02462 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-19 7,865 7,855 137,3 137,3 1079,8645 1078,4915 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-20 7,848 7,838 137,24 137,24 1077,05952 1075,68712 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-21 7,948 7,938 137,93 137,93 1096,26764 1094,88834 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-22 7,98 7,97 138,02 138,02 1101,3996 1100,0194 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-23 7,955 7,945 138,24 138,24 1099,6992 1098,3168 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-27 8,01 8 138,78 138,78 1111,6278 1110,24 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-28 7,915 7,905 138,53 138,53 1096,46495 1095,07965 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-29 7,938 7,928 137,94 137,94 1094,96772 1093,58832 604637 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Financials Fund USD 2005-12-30 7,958 7,948 136,94 136,94 1089,76852 1088,39912 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-03 6,668 6,658 93,87 93,87 625,92516 624,98646 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-04 6,728 6,718 92,88 92,88 624,89664 623,96784 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-05 6,828 6,818 91,73 91,73 626,33244 625,41514 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-07 6,87 6,86 92,03 92,03 632,2461 631,3258 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-10 6,96091 6,95091 91,88 91,88 639,5684108 638,6496108 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-11 6,96091 6,95091 91,89 91,89 639,6380199 638,7191199 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-12 6,913 6,903 91,66 91,66 633,64558 632,72898 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-13 6,843 6,833 91,82 91,82 628,32426 627,40606 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-14 6,915 6,905 91,1 91,1 629,9565 629,0455 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-18 6,968 6,958 91,01 91,01 634,15768 633,24758 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-19 6,91 6,9 91,86 91,86 634,7526 633,834 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-20 6,96 6,95 90,96 90,96 633,0816 632,172 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-21 6,978 6,968 90,46 90,46 631,22988 630,32528 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-24 6,933 6,923 90,32 90,32 626,18856 625,28536 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-25 6,95 6,94 90,26 90,26 627,307 626,4044 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-26 6,995 6,985 90,88 90,88 635,7056 634,7968 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-27 6,93 6,92 90,7 90,7 628,551 627,644 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-28 6,985 6,975 90,67 90,67 633,32995 632,42325 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-01-31 6,998 6,988 90,52 90,52 633,45896 632,55376 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-01 6,993 6,983 90,69 90,69 634,19517 633,28827 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-02 6,953 6,943 91,34 91,34 635,08702 634,17362 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-03 6,968 6,958 91,15 91,15 635,1332 634,2217 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-04 7,01 7 91,46 91,46 641,1346 640,22 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-07 7,065 7,055 91,59 91,59 647,08335 646,16745 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-08 7,123 7,113 91,47 91,47 651,54081 650,62611 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-09 7,1 7,09 91,7 91,7 651,07 650,153 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-10 7,088 7,078 91,24 91,24 646,70912 645,79672 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-11 7,068 7,058 91,32 91,32 645,44976 644,53656 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-14 7,03 7,02 92,14 92,14 647,7442 646,8228 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-15 7,005 6,995 92,29 92,29 646,49145 645,56855 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-16 6,973 6,963 91,98 91,98 641,37654 640,45674 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-17 6,97 6,96 92,31 92,31 643,4007 642,4776 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-18 6,965 6,955 92,35 92,35 643,21775 642,29425 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-22 6,905 6,895 93,95 93,95 648,72475 647,78525 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-23 6,895 6,885 92,92 92,92 640,6834 639,7542 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-24 6,858 6,848 92,5 92,5 634,365 633,44 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-25 6,885 6,875 93,58 93,58 644,2983 643,3625 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-02-28 6,828 6,818 93,48 93,48 638,28144 637,34664 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-01 6,87 6,86 93,75 93,75 644,0625 643,125 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-02 6,888 6,878 93,64 93,64 644,99232 644,05592 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-03 6,903 6,893 94,01 94,01 648,95103 648,01093 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-04 6,9 6,89 94,46 94,46 651,774 650,8294 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-07 6,84 6,83 94,34 94,34 645,2856 644,3422 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-08 6,825 6,815 94,11 94,11 642,30075 641,35965 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-09 6,76 6,75 93,09 93,09 629,2884 628,3575 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-10 6,745 6,735 93,78 93,78 632,5461 631,6083 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-11 6,765 6,755 93,52 93,52 632,6628 631,7276 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-14 6,76 6,75 92,75 92,75 626,99 626,0625 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-15 6,815 6,805 93,47 93,47 636,99805 636,06335 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-16 6,81 6,8 92,51 92,51 629,9931 629,068 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-17 6,795 6,785 91,75 91,75 623,44125 622,52375 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-18 6,828 6,818 91,45 91,45 624,4206 623,5061 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-21 6,908 6,898 91,3 91,3 630,7004 629,7874 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-22 6,928 6,918 91,43 91,43 633,42704 632,51274 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-23 6,973 6,963 90,89 90,89 633,77597 632,86707 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-24 7,008 6,998 91,3 91,3 639,8304 638,9174 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-29 7,055 7,045 91,17 91,17 643,20435 642,29265 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-30 7,053 7,043 90,82 90,82 640,55346 639,64526 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-03-31 7,065 7,055 91,78 91,78 648,4257 647,5079 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-01 7,07 7,06 91,32 91,32 645,6324 644,7192 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-04 7,113 7,103 90,1 90,1 640,8813 639,9803 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-05 7,163 7,153 91,65 91,65 656,48895 655,57245 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-06 7,125 7,115 92,44 92,44 658,635 657,7106 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-07 7,083 7,073 92,17 92,17 652,84011 651,91841 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-08 7,153 7,143 92,89 92,89 664,44217 663,51327 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-11 7,098 7,088 92,9 92,9 659,4042 658,4752 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-12 7,048 7,038 91,98 91,98 648,27504 647,35524 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-13 7,075 7,065 92,93 92,93 657,47975 656,55045 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-14 7,12 7,11 93,15 93,15 663,228 662,2965 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-15 7,17 7,16 94,1 94,1 674,697 673,756 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-18 7,08 7,07 93,09 93,09 659,0772 658,1463 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-19 7,068 7,058 93,65 93,65 661,9182 660,9817 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-20 7,043 7,033 93,23 93,23 656,61889 655,68659 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-21 7,025 7,015 93,17 93,17 654,51925 653,58755 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-22 7,023 7,013 93,31 93,31 655,31613 654,38303 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-25 7,04 7,03 93,23 93,23 656,3392 655,4069 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-26 7,035 7,025 93,54 93,54 658,0539 657,1185 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-27 7,085 7,075 92,82 92,82 657,6297 656,7015 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-28 7,085 7,075 93,67 93,67 663,65195 662,71525 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-04-29 7,08 7,07 94,13 94,13 666,4404 665,4991 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-02 7,15 7,14 94,57 94,57 676,1755 675,2298 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-03 7,178 7,168 94,98 94,98 681,76644 680,81664 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-04 7,11 7,1 95,48 95,48 678,8628 677,908 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-06 7,085 7,075 96,19 96,19 681,50615 680,54425 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-09 7,168 7,158 95,69 95,69 685,90592 684,94902 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-10 7,178 7,168 95,66 95,66 686,64748 685,69088 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-11 7,15 7,14 95,24 95,24 680,966 680,0136 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-12 7,243 7,233 95,61 95,61 692,50323 691,54713 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-13 7,265 7,255 94,79 94,79 688,64935 687,70145 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-16 7,32 7,31 94,57 94,57 692,2524 691,3067 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-17 7,313 7,303 94,92 94,92 694,14996 693,20076 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-18 7,3 7,29 95,37 95,37 696,201 695,2473 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-19 7,26 7,25 95,48 95,48 693,1848 692,23 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-20 7,28 7,27 95,07 95,07 692,1096 691,1589 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-23 7,32 7,31 95,23 95,23 697,0836 696,1313 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-24 7,295 7,285 95,92 95,92 699,7364 698,7772 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-25 7,298 7,288 95,93 95,93 700,09714 699,13784 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-26 7,33 7,32 95,69 95,69 701,4077 700,4508 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-27 7,338 7,328 95,95 95,95 704,0811 703,1216 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-05-31 7,403 7,393 95,59 95,59 707,65277 706,69687 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-01 7,428 7,418 95,32 95,32 708,03696 707,08376 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-02 7,473 7,463 95,52 95,52 713,82096 712,86576 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-03 7,438 7,428 95,74 95,74 712,11412 711,15672 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-07 7,448 7,438 95,85 95,85 713,8908 712,9323 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-08 7,435 7,425 95,49 95,49 709,96815 709,01325 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-09 7,523 7,513 95,15 95,15 715,81345 714,86195 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-10 7,525 7,515 94,84 94,84 713,671 712,7226 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-13 7,643 7,633 94,84 94,84 724,86212 723,91372 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-14 7,663 7,653 95,4 95,4 731,0502 730,0962 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-15 7,693 7,683 95,44 95,44 734,21992 733,26552 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-16 7,678 7,668 95,18 95,18 730,79204 729,84024 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-17 7,643 7,633 95,78 95,78 732,04654 731,08874 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-20 7,543 7,533 95,89 95,89 723,29827 722,33937 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-21 7,648 7,638 95,85 95,85 733,0608 732,1023 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-22 7,608 7,598 96,1 96,1 731,1288 730,1678 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-23 7,73 7,72 95,53 95,53 738,4469 737,4916 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-27 7,73 7,72 94,63 94,63 731,4899 730,5436 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-28 7,76 7,75 94,95 94,95 736,812 735,8625 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-29 7,833 7,823 95,17 95,17 745,46661 744,51491 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-06-30 7,823 7,813 95,38 95,38 746,15774 745,20394 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-01 7,858 7,848 94,78 94,78 744,78124 743,83344 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-05 7,963 7,953 94,46 94,46 752,18498 751,24038 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-06 7,895 7,885 95,13 95,13 751,05135 750,10005 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-07 7,878 7,868 93,88 93,88 739,58664 738,64784 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-08 7,913 7,903 94,81 94,81 750,23153 749,28343 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-11 7,89 7,88 95,85 95,85 756,2565 755,298 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-12 7,77 7,76 96,14 96,14 747,0078 746,0464 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-13 7,703 7,693 95,8 95,8 737,9474 736,9894 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-14 7,76 7,75 95,99 95,99 744,8824 743,9225 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-15 7,76 7,75 96,07 96,07 745,5032 744,5425 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-18 7,78 7,77 96,13 96,13 747,8914 746,9301 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-19 7,878 7,868 95,68 95,68 753,76704 752,81024 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-20 7,818 7,808 96,94 96,94 757,87692 756,90752 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-21 7,775 7,765 96,8 96,8 752,62 751,652 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-22 7,758 7,748 96,58 96,58 749,26764 748,30184 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-25 7,838 7,828 96,31 96,31 754,87778 753,91468 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-26 7,818 7,808 96,1 96,1 751,3098 750,3488 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-27 7,905 7,895 96,47 96,47 762,59535 761,63065 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-28 7,848 7,838 97,27 97,27 763,37496 762,40226 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-07-29 7,748 7,738 98,19 98,19 760,77612 759,79422 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-01 7,72 7,71 98,44 98,44 759,9568 758,9724 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-02 7,7 7,69 98,51 98,51 758,527 757,5419 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-03 7,685 7,675 98,63 98,63 757,97155 756,98525 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-04 7,618 7,608 98,75 98,75 752,2775 751,29 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-05 7,548 7,538 97,9 97,9 738,9492 737,9702 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-08 7,558 7,548 97,82 97,82 739,32356 738,34536 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-09 7,548 7,538 97,54 97,54 736,23192 735,25652 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-10 7,558 7,548 98,37 98,37 743,48046 742,49676 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-11 7,523 7,513 98,4 98,4 740,2632 739,2792 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-12 7,46 7,45 98,33 98,33 733,5418 732,5585 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-15 7,508 7,498 97,99 97,99 735,70892 734,72902 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-16 7,523 7,513 98,16 98,16 738,45768 737,47608 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-17 7,605 7,595 97,59 97,59 742,17195 741,19605 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-18 7,61 7,6 97,45 97,45 741,5945 740,62 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-19 7,698 7,688 97,76 97,76 752,55648 751,57888 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-22 7,69 7,68 97,44 97,44 749,3136 748,3392 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-23 7,663 7,653 96,6 96,6 740,2458 739,2798 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-24 7,673 7,663 96,51 96,51 740,52123 739,55613 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-25 7,588 7,578 96,28 96,28 730,57264 729,60984 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-26 7,578 7,568 96,07 96,07 728,01846 727,05776 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-29 7,573 7,563 95,65 95,65 724,35745 723,40095 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-30 7,633 7,623 96,26 96,26 734,75258 733,78998 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-08-31 7,668 7,658 96,49 96,49 739,88532 738,92042 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-01 7,568 7,558 97,68 97,68 739,24224 738,26544 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-02 7,435 7,425 98,16 98,16 729,8196 728,838 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-06 7,485 7,475 98,62 98,62 738,1707 737,1845 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-07 7,43 7,42 99,55 99,55 739,6565 738,661 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-08 7,498 7,488 99,43 99,43 745,52614 744,53184 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-09 7,523 7,513 99,84 99,84 751,09632 750,09792 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-12 7,555 7,545 99,88 99,88 754,5934 753,5946 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-13 7,57 7,56 98,91 98,91 748,7487 747,7596 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-14 7,61 7,6 98,87 98,87 752,4007 751,412 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-15 7,658 7,648 98,75 98,75 756,2275 755,24 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-16 7,613 7,603 98,71 98,71 751,47923 750,49213 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-19 7,698 7,688 98,68 98,68 759,63864 758,65184 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-20 7,688 7,678 98,69 98,69 758,72872 757,74182 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-21 7,663 7,653 98,04 98,04 751,28052 750,30012 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-22 7,648 7,638 97,95 97,95 749,1216 748,1421 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-23 7,733 7,723 98,15 98,15 758,99395 758,01245 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-26 7,798 7,788 98,6 98,6 768,8828 767,8968 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-27 7,825 7,815 98,07 98,07 767,39775 766,41705 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-28 7,81 7,8 98 98 765,38 764,4 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-29 7,785 7,775 97,41 97,41 758,33685 757,36275 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-09-30 7,785 7,775 97,9 97,9 762,1515 761,1725 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-03 7,783 7,773 98,47 98,47 766,39201 765,40731 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-04 7,82 7,81 98,99 98,99 774,1018 773,1119 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-05 7,795 7,785 98,98 98,98 771,5491 770,5593 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-06 7,713 7,703 98,11 98,11 756,72243 755,74133 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-07 7,683 7,673 97,68 97,68 750,47544 749,49864 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-10 7,698 7,688 97,21 97,21 748,32258 747,35048 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-11 7,77 7,76 97,13 97,13 754,7001 753,7288 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-12 7,805 7,795 96,85 96,85 755,91425 754,94575 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-13 7,83 7,82 95,52 95,52 747,9216 746,9664 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-14 7,833 7,823 96,32 96,32 754,47456 753,51136 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-17 7,835 7,825 96,65 96,65 757,25275 756,28625 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-18 7,893 7,883 96,68 96,68 763,09524 762,12844 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-19 7,96 7,95 96,64 96,64 769,2544 768,288 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-20 7,93 7,92 96,63 96,63 766,2759 765,3096 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-21 7,883 7,873 96,17 96,17 758,10811 757,14641 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-24 7,995 7,985 96,04 96,04 767,8398 766,8794 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-25 7,99 7,98 96,42 96,42 770,3958 769,4316 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-26 7,868 7,858 96,2 96,2 756,9016 755,9396 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-27 7,868 7,858 95,73 95,73 753,20364 752,24634 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-28 7,825 7,815 95,22 95,22 745,0965 744,1443 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-10-31 7,905 7,895 96,42 96,42 762,2001 761,2359 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-01 7,963 7,953 96,25 96,25 766,43875 765,47625 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-02 7,98 7,97 96,33 96,33 768,7134 767,7501 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-03 8,01 8 97,02 97,02 777,1302 776,16 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-04 8,028 8,018 97,54 97,54 783,05112 782,07572 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-07 8,135 8,125 97,54 97,54 793,4879 792,5125 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-08 8,17 8,16 97,75 97,75 798,6175 797,64 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-09 8,12 8,11 96,99 96,99 787,5588 786,5889 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-10 8,173 8,163 97,63 97,63 797,92999 796,95369 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-11 8,235 8,225 98,45 98,45 810,73575 809,75125 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-14 8,133 8,123 98,04 98,04 797,35932 796,37892 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-15 8,185 8,175 97,76 97,76 800,1656 799,188 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-16 8,21 8,2 97,6 97,6 801,296 800,32 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-17 8,258 8,248 98,02 98,02 809,44916 808,46896 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-18 8,223 8,213 98,81 98,81 812,51463 811,52653 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-21 8,123 8,113 98,35 98,35 798,89705 797,91355 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-22 8,15 8,14 98,37 98,37 801,7155 800,7318 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-23 8,048 8,038 98,8 98,8 795,1424 794,1544 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-25 8,078 8,068 98,63 98,63 796,73314 795,74684 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-28 8,118 8,108 98,21 98,21 797,26878 796,28668 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-29 8,015 8,005 98,22 98,22 787,2333 786,2511 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-11-30 8,088 8,078 97,68 97,68 790,03584 789,05904 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-01 8,083 8,073 97,17 97,17 785,42511 784,45341 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-02 8,103 8,093 97,03 97,03 786,23409 785,26379 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-05 8,045 8,035 97,76 97,76 786,4792 785,5016 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-06 7,993 7,983 97,69 97,69 780,83617 779,85927 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-07 8,015 8,005 97,39 97,39 780,58085 779,60695 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-08 7,988 7,978 97,14 97,14 775,95432 774,98292 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-12 7,953 7,943 98,64 98,64 784,48392 783,49752 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-13 7,905 7,895 98,64 98,64 779,7492 778,7628 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-14 7,848 7,838 99,32 99,32 779,46336 778,47016 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-15 7,858 7,848 99,14 99,14 779,04212 778,05072 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-16 7,903 7,893 99,58 99,58 786,98074 785,98494 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-19 7,865 7,855 100,41 100,41 789,72465 788,72055 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-20 7,848 7,838 99,75 99,75 782,838 781,8405 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-21 7,948 7,938 99,6 99,6 791,6208 790,6248 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-22 7,98 7,97 99,65 99,65 795,207 794,2105 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-23 7,955 7,945 99,92 99,92 794,8636 793,8644 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-27 8,01 8 100,22 100,22 802,7622 801,76 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-28 7,915 7,905 100,01 100,01 791,57915 790,57905 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-29 7,938 7,928 99,89 99,89 792,92682 791,92792 568808 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Healthtech Fund USD 2005-12-30 7,958 7,948 98,94 98,94 787,36452 786,37512 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-03 9,0065 9,0015 131,83 131,83 1187,326895 1186,667745 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-04 9,0345 9,0295 131,99 131,99 1192,463655 1191,803705 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-05 9,0615 9,0565 132,06 132,06 1196,66169 1196,00139 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-07 9,0615 9,0565 131,79 131,79 1194,215085 1193,556135 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-10 9,08619 9,08119 131,76 131,76 1197,1963944 1196,5375944 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-11 9,08619 9,08119 131,62 131,62 1195,9243278 1195,2662278 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-12 9,0455 9,0405 131,3 131,3 1187,67415 1187,01765 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-13 9,0505 9,0455 131,24 131,24 1187,78762 1187,13142 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-14 9,0455 9,0405 131,18 131,18 1186,58869 1185,93279 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-18 9,0585 9,0535 131,2 131,2 1188,4752 1187,8192 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-19 9,0225 9,0175 131,01 131,01 1182,037725 1181,382675 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-20 9,0315 9,0265 131,13 131,13 1184,300595 1183,644945 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-21 9,0505 9,0455 130,93 130,93 1184,981965 1184,327315 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-24 9,0655 9,0605 130,96 130,96 1187,21788 1186,56308 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-25 9,0715 9,0665 130,91 130,91 1187,550065 1186,895515 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-26 9,0885 9,0835 131,04 131,04 1190,95704 1190,30184 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-27 9,0675 9,0625 131,05 131,05 1188,295875 1187,640625 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-28 9,0955 9,0905 131,68 131,68 1197,69544 1197,03704 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-01-31 9,1075 9,1025 131,31 131,31 1195,905825 1195,249275 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-01 9,1035 9,0985 131,41 131,41 1196,290935 1195,633885 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-02 9,0905 9,0855 131,55 131,55 1195,855275 1195,197525 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-03 9,0695 9,0645 131,84 131,84 1195,72288 1195,06368 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-04 9,0895 9,0845 131,97 131,97 1199,541315 1198,881465 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-07 9,0755 9,0705 132,25 132,25 1200,234875 1199,573625 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-08 9,0895 9,0845 132,5 132,5 1204,35875 1203,69625 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-09 9,0695 9,0645 132,68 132,68 1203,34126 1202,67786 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-10 9,0805 9,0755 132,71 132,71 1205,073155 1204,409605 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-11 9,0935 9,0885 132,72 132,72 1206,88932 1206,22572 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-14 9,1105 9,1055 132,82 132,82 1210,05661 1209,39251 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-15 9,0765 9,0715 132,99 132,99 1207,083735 1206,418785 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-16 9,0705 9,0655 133,11 133,11 1207,374255 1206,708705 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-17 9,0925 9,0875 133,23 133,23 1211,393775 1210,727625 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-18 9,0945 9,0895 133,26 133,26 1211,93307 1211,26677 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-22 9,0975 9,0925 133,21 133,21 1211,877975 1211,211925 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-23 9,1045 9,0995 133,07 133,07 1211,535815 1210,870465 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-24 9,0715 9,0665 133,13 133,13 1207,688795 1207,023145 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-25 9,0845 9,0795 133,26 133,26 1210,60047 1209,93417 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-02-28 9,0505 9,0455 133,48 133,48 1208,06074 1207,39334 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-01 9,0565 9,0515 133,4 133,4 1208,1371 1207,4701 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-02 9,0645 9,0595 133,33 133,33 1208,569785 1207,903135 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-03 9,0675 9,0625 133,32 133,32 1208,8791 1208,2125 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-04 9,0415 9,0365 133,35 133,35 1205,684025 1205,017275 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-07 9,0425 9,0375 133,51 133,51 1207,264175 1206,596625 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-08 9,0345 9,0295 133,66 133,66 1207,55127 1206,88297 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-09 9,0365 9,0315 133,68 133,68 1207,99932 1207,33092 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-10 9,0655 9,0605 133,37 133,37 1209,065735 1208,398885 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-11 9,0795 9,0745 133,23 133,23 1209,661785 1208,995635 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-14 9,0695 9,0645 133,2 133,2 1208,0574 1207,3914 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-15 9,1035 9,0985 133,02 133,02 1210,94757 1210,28247 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-16 9,0975 9,0925 132,95 132,95 1209,512625 1208,847875 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-17 9,1045 9,0995 132,3 132,3 1204,52535 1203,86385 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-18 9,1035 9,0985 132 132 1201,662 1201,002 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-21 9,1265 9,1215 132,02 132,02 1204,88053 1204,22043 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-22 9,1265 9,1215 131,42 131,42 1199,40463 1198,74753 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-23 9,1165 9,1115 130,87 130,87 1193,076355 1192,422005 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-24 9,1135 9,1085 130,07 130,07 1185,392945 1184,742595 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-29 9,1315 9,1265 130,04 130,04 1187,46026 1186,81006 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-30 9,1425 9,1375 129,61 129,61 1184,959425 1184,311375 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-03-31 9,1405 9,1355 129,19 129,19 1180,861195 1180,215245 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-01 9,1645 9,1595 129,19 129,19 1183,961755 1183,315805 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-04 9,1695 9,1645 129,3 129,3 1185,61635 1184,96985 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-05 9,1745 9,1695 129,15 129,15 1184,886675 1184,240925 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-06 9,1705 9,1655 129,5 129,5 1187,57975 1186,93225 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-07 9,1505 9,1455 130,03 130,03 1189,839515 1189,189365 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-08 9,1625 9,1575 130,45 130,45 1195,248125 1194,595875 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-11 9,1705 9,1655 130,37 130,37 1195,558085 1194,906235 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-12 9,1525 9,1475 130,02 130,02 1190,00805 1189,35795 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-13 9,1495 9,1445 129,78 129,78 1187,42211 1186,77321 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-14 9,1685 9,1635 129,72 129,72 1189,33782 1188,68922 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-15 9,1925 9,1875 128,97 128,97 1185,556725 1184,911875 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-18 9,1805 9,1755 128,52 128,52 1179,87786 1179,23526 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-19 9,2035 9,1985 128,14 128,14 1179,33649 1178,69579 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-20 9,1915 9,1865 128,5 128,5 1181,10775 1180,46525 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-21 9,1855 9,1805 128,94 128,94 1184,37837 1183,73367 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-22 9,1625 9,1575 129,34 129,34 1185,07775 1184,43105 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-25 9,1685 9,1635 129,56 129,56 1187,87086 1187,22306 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-26 9,1375 9,1325 129,41 129,41 1182,483875 1181,836825 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-27 9,1465 9,1415 129,06 129,06 1180,44729 1179,80199 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-28 9,1505 9,1455 128,52 128,52 1176,02226 1175,37966 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-04-29 9,1705 9,1655 128,34 128,34 1176,94197 1176,30027 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-02 9,1935 9,1885 128,01 128,01 1176,859935 1176,219885 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-03 9,2245 9,2195 128,05 128,05 1181,197225 1180,556975 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-04 9,1915 9,1865 128,07 128,07 1177,155405 1176,515055 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-06 9,1715 9,1665 128,93 128,93 1182,481495 1181,836845 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-09 9,1815 9,1765 128,58 128,58 1180,55727 1179,91437 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-10 9,1985 9,1935 128,6 128,6 1182,9271 1182,2841 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-11 9,2105 9,2055 128,41 128,41 1182,720305 1182,078255 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-12 9,2315 9,2265 127,89 127,89 1180,616535 1179,977085 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-13 9,2045 9,1995 127,85 127,85 1176,795325 1176,156075 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-16 9,2145 9,2095 127,45 127,45 1174,388025 1173,750775 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-17 9,2325 9,2275 126,74 126,74 1170,12705 1169,49335 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-18 9,2095 9,2045 126,16 126,16 1161,87052 1161,23972 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-19 9,1905 9,1855 126,68 126,68 1164,25254 1163,61914 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-20 9,1955 9,1905 127,52 127,52 1172,61016 1171,97256 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-23 9,1805 9,1755 127,94 127,94 1174,55317 1173,91347 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-24 9,1815 9,1765 128,06 128,06 1175,78289 1175,14259 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-25 9,1785 9,1735 128,85 128,85 1182,649725 1182,005475 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-26 9,1945 9,1895 129,47 129,47 1190,411915 1189,764565 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-27 9,1955 9,1905 129,87 129,87 1194,219585 1193,570235 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-05-31 9,1665 9,1615 130,42 130,42 1195,49493 1194,84283 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-01 9,1455 9,1405 130,97 130,97 1197,786135 1197,131285 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-02 9,1565 9,1515 131,63 131,63 1205,270095 1204,611945 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-03 9,1315 9,1265 132,32 132,32 1208,28008 1207,61848 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-07 9,1455 9,1405 132,11 132,11 1208,212005 1207,551455 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-08 9,1455 9,1405 132,23 132,23 1209,309465 1208,648315 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-09 9,1965 9,1915 132,19 132,19 1215,685335 1215,024385 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-10 9,1975 9,1925 132,02 132,02 1214,25395 1213,59385 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-13 9,2365 9,2315 132,02 132,02 1219,40273 1218,74263 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-14 9,2985 9,2935 131,94 131,94 1226,84409 1226,18439 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-15 9,2695 9,2645 132,08 132,08 1224,31556 1223,65516 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-16 9,2695 9,2645 132,33 132,33 1226,632935 1225,971285 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-17 9,2695 9,2645 132,27 132,27 1226,076765 1225,415415 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-20 9,2255 9,2205 132,39 132,39 1221,363945 1220,701995 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-21 9,2725 9,2675 132,35 132,35 1227,215375 1226,553625 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-22 9,2615 9,2565 132,48 132,48 1226,96352 1226,30112 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-23 9,3535 9,3485 132,79 132,79 1242,051265 1241,387315 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-27 9,3855 9,3805 132,75 132,75 1245,925125 1245,261375 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-28 9,3995 9,3945 132,63 132,63 1246,655685 1245,992535 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-29 9,4215 9,4165 132,85 132,85 1251,646275 1250,982025 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-06-30 9,4415 9,4365 133,06 133,06 1256,28599 1255,62069 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-01 9,4595 9,4545 133,29 133,29 1260,856755 1260,190305 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-05 9,4575 9,4525 133,4 133,4 1261,6305 1260,9635 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-06 9,4195 9,4145 133,35 133,35 1256,090325 1255,423575 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-07 9,3965 9,3915 133,39 133,39 1253,399135 1252,732185 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-08 9,4175 9,4125 133,4 133,4 1256,2945 1255,6275 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-11 9,4665 9,4615 133,77 133,77 1266,333705 1265,664855 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-12 9,4645 9,4595 134,14 134,14 1269,56803 1268,89733 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-13 9,3915 9,3865 134,48 134,48 1262,96892 1262,29652 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-14 9,3675 9,3625 134,55 134,55 1260,397125 1259,724375 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-15 9,4055 9,4005 134,81 134,81 1267,955455 1267,281405 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-18 9,3895 9,3845 134,88 134,88 1266,45576 1265,78136 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-19 9,4425 9,4375 134,82 134,82 1273,03785 1272,36375 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-20 9,4265 9,4215 134,83 134,83 1270,974995 1270,300845 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-21 9,4625 9,4575 134,8 134,8 1275,545 1274,871 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-22 9,4495 9,4445 134,76 134,76 1273,41462 1272,74082 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-25 9,4275 9,4225 134,84 134,84 1271,2041 1270,5299 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-26 9,4155 9,4105 134,89 134,89 1270,056795 1269,382345 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-27 9,4725 9,4675 134,96 134,96 1278,4086 1277,7338 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-28 9,4515 9,4465 134,96 134,96 1275,57444 1274,89964 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-07-29 9,3885 9,3835 135,12 135,12 1268,57412 1267,89852 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-01 9,3985 9,3935 135,15 135,15 1270,207275 1269,531525 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-02 9,3995 9,3945 135,05 135,05 1269,402475 1268,727225 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-03 9,3755 9,3705 134,99 134,99 1265,598745 1264,923795 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-04 9,3735 9,3685 134,97 134,97 1265,141295 1264,466445 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-05 9,3355 9,3305 134,96 134,96 1259,91908 1259,24428 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-08 9,3335 9,3285 134,78 134,78 1257,96913 1257,29523 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-09 9,3455 9,3405 134,51 134,51 1257,063205 1256,390655 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-10 9,3535 9,3485 134,49 134,49 1257,952215 1257,279765 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-11 9,3365 9,3315 134,61 134,61 1256,786265 1256,113215 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-12 9,3025 9,2975 134,58 134,58 1251,93045 1251,25755 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-15 9,3065 9,3015 134,76 134,76 1254,14394 1253,47014 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-16 9,2995 9,2945 134,77 134,77 1253,293615 1252,619765 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-17 9,3405 9,3355 134,75 134,75 1258,632375 1257,958625 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-18 9,3365 9,3315 134,8 134,8 1258,5602 1257,8862 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-19 9,3395 9,3345 134,84 134,84 1259,33818 1258,66398 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-22 9,3655 9,3605 134,97 134,97 1264,061535 1263,386685 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-23 9,3715 9,3665 135,03 135,03 1265,433645 1264,758495 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-24 9,3365 9,3315 135,14 135,14 1261,73461 1261,05891 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-25 9,3335 9,3285 135,2 135,2 1261,8892 1261,2132 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-26 9,3415 9,3365 135,25 135,25 1263,437875 1262,761625 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-29 9,3295 9,3245 135,33 135,33 1262,561235 1261,884585 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-30 9,3285 9,3235 135,26 135,26 1261,77291 1261,09661 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-08-31 9,3585 9,3535 135,26 135,26 1265,83071 1265,15441 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-01 9,3365 9,3315 135,21 135,21 1262,388165 1261,712115 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-02 9,3025 9,2975 135,14 135,14 1257,13985 1256,46415 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-06 9,3225 9,3175 135,16 135,16 1260,0291 1259,3533 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-07 9,3075 9,3025 135,15 135,15 1257,908625 1257,232875 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-08 9,3255 9,3205 135,07 135,07 1259,595285 1258,919935 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-09 9,3445 9,3395 135,1 135,1 1262,44195 1261,76645 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-12 9,3015 9,2965 135,17 135,17 1257,283755 1256,607905 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-13 9,3015 9,2965 135,2 135,2 1257,5628 1256,8868 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-14 9,3365 9,3315 135,22 135,22 1262,48153 1261,80543 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-15 9,3425 9,3375 135,12 135,12 1262,3586 1261,683 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-16 9,3465 9,3415 134,93 134,93 1261,123245 1260,448595 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-19 9,3355 9,3305 134,67 134,67 1257,211785 1256,538435 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-20 9,3395 9,3345 134,25 134,25 1253,827875 1253,156625 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-21 9,3405 9,3355 133,91 133,91 1250,786355 1250,116805 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-22 9,3405 9,3355 133,63 133,63 1248,171015 1247,502865 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-23 9,3695 9,3645 133,38 133,38 1249,70391 1249,03701 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-26 9,3815 9,3765 133,63 133,63 1253,649845 1252,981695 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-27 9,3885 9,3835 133,83 133,83 1256,462955 1255,793805 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-28 9,3935 9,3885 133,81 133,81 1256,944235 1256,275185 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-29 9,3845 9,3795 133,68 133,68 1254,51996 1253,85156 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-09-30 9,3435 9,3385 133,55 133,55 1247,824425 1247,156675 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-03 9,3025 9,2975 133,47 133,47 1241,604675 1240,937325 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-04 9,3185 9,3135 133,52 133,52 1244,20612 1243,53852 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-05 9,3105 9,3055 133,46 133,46 1242,57933 1241,91203 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-06 9,3015 9,2965 133,19 133,19 1238,866785 1238,200835 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-07 9,3385 9,3335 132,93 132,93 1241,366805 1240,702155 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-11 9,3395 9,3345 132,73 132,73 1239,631835 1238,968185 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-12 9,3375 9,3325 132,19 132,19 1234,324125 1233,663175 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-13 9,3815 9,3765 131,84 131,84 1236,85696 1236,19776 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-14 9,4135 9,4085 131,42 131,42 1237,12217 1236,46507 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-17 9,4575 9,4525 131,84 131,84 1246,8768 1246,2176 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-18 9,4625 9,4575 132,37 132,37 1252,551125 1251,889275 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-19 9,4605 9,4555 132,7 132,7 1255,40835 1254,74485 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-20 9,4935 9,4885 132,72 132,72 1259,97732 1259,31372 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-21 9,4915 9,4865 132,71 132,71 1259,616965 1258,953415 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-24 9,5455 9,5405 132,89 132,89 1268,501495 1267,837045 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-25 9,5465 9,5415 132,78 132,78 1267,58427 1266,92037 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-26 9,4975 9,4925 132,8 132,8 1261,268 1260,604 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-27 9,5355 9,5305 132,3 132,3 1261,54665 1260,88515 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-28 9,5135 9,5085 132,01 132,01 1255,877135 1255,217085 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-10-31 9,5495 9,5445 132,01 132,01 1260,629495 1259,969445 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-01 9,5495 9,5445 132,06 132,06 1261,10697 1260,44667 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-02 9,5855 9,5805 132,19 132,19 1267,107245 1266,446295 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-03 9,6515 9,6465 132,19 132,19 1275,831785 1275,170835 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-04 9,5875 9,5825 132,41 132,41 1269,480875 1268,818825 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-07 9,6075 9,6025 132,54 132,54 1273,37805 1272,71535 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-08 9,5685 9,5635 132,47 132,47 1267,539195 1266,876845 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-09 9,5575 9,5525 132,56 132,56 1266,9422 1266,2794 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-10 9,6105 9,6055 132,47 132,47 1273,102935 1272,440585 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-14 9,5505 9,5455 132,58 132,58 1266,20529 1265,54239 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-15 9,5805 9,5755 132,16 132,16 1266,15888 1265,49808 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-16 9,6235 9,6185 131,99 131,99 1270,205765 1269,545815 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-17 9,6355 9,6305 131,87 131,87 1270,633385 1269,974035 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-18 9,6085 9,6035 131,8 131,8 1266,4003 1265,7413 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-21 9,5915 9,5865 132,12 132,12 1267,22898 1266,56838 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-22 9,5585 9,5535 132,4 132,4 1265,5454 1264,8834 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-23 9,5155 9,5105 132,56 132,56 1261,37468 1260,71188 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-25 9,4965 9,4915 132,85 132,85 1261,610025 1260,945775 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-28 9,4835 9,4785 132,96 132,96 1260,92616 1260,26136 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-29 9,4785 9,4735 133,27 133,27 1263,199695 1262,533345 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-11-30 9,5295 9,5245 133,53 133,53 1272,474135 1271,806485 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-01 9,5165 9,5115 133,62 133,62 1271,59473 1270,92663 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-02 9,4905 9,4855 133,88 133,88 1270,58814 1269,91874 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-05 9,4065 9,4015 133,95 133,95 1260,000675 1259,330925 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-06 9,4185 9,4135 133,79 133,79 1260,101115 1259,432165 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-07 9,4255 9,4205 133,83 133,83 1261,414665 1260,745515 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-08 9,3965 9,3915 133,77 133,77 1256,969805 1256,300955 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-12 9,4315 9,4265 133,99 133,99 1263,726685 1263,056735 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-13 9,4295 9,4245 134,22 134,22 1265,62749 1264,95639 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-14 9,4365 9,4315 134,25 134,25 1266,850125 1266,178875 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-15 9,4345 9,4295 134,33 134,33 1267,336385 1266,664735 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-16 9,4765 9,4715 134,31 134,31 1272,788715 1272,117165 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-19 9,4535 9,4485 134,44 134,44 1270,92854 1270,25634 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-20 9,4015 9,3965 134,47 134,47 1264,219705 1263,547355 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-21 9,4485 9,4435 134,45 134,45 1270,350825 1269,678575 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-22 9,4365 9,4315 134,43 134,43 1268,548695 1267,876545 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-23 9,4425 9,4375 134,53 134,53 1270,299525 1269,626875 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-27 9,4915 9,4865 134,58 134,58 1277,36607 1276,69317 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-28 9,4345 9,4295 134,66 134,66 1270,44977 1269,77647 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-29 9,4115 9,4065 134,61 134,61 1266,882015 1266,208965 783787 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global High Yield Bond Fund EUR 2005-12-30 9,4325 9,4275 134,7 134,7 1270,55775 1269,88425 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-03 6,668 6,658 115,87 115,87 772,62116 771,46246 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-04 6,728 6,718 114,96 114,96 773,45088 772,30128 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-05 6,828 6,818 113,39 113,39 774,22692 773,09302 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-07 6,87 6,86 113,77 113,77 781,5999 780,4622 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-10 6,96091 6,95091 113,48 113,48 789,9240668 788,7892668 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-11 6,96091 6,95091 113,45 113,45 789,7152395 788,5807395 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-12 6,913 6,903 113,48 113,48 784,48724 783,35244 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-13 6,843 6,833 113,48 113,48 776,54364 775,40884 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-14 6,915 6,905 113,14 113,14 782,3631 781,2317 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-18 6,968 6,958 112,89 112,89 786,61752 785,48862 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-19 6,91 6,9 113,89 113,89 786,9799 785,841 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-20 6,96 6,95 112,23 112,23 781,1208 779,9985 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-21 6,978 6,968 112,24 112,24 783,21072 782,08832 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-24 6,933 6,923 111,93 111,93 776,01069 774,89139 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-25 6,95 6,94 112,18 112,18 779,651 778,5292 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-26 6,995 6,985 112,71 112,71 788,40645 787,27935 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-27 6,93 6,92 112,43 112,43 779,1399 778,0156 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-28 6,985 6,975 112,65 112,65 786,86025 785,73375 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-01-31 6,998 6,988 112,94 112,94 790,35412 789,22472 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-01 6,993 6,983 112,95 112,95 789,85935 788,72985 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-02 6,953 6,943 113,67 113,67 790,34751 789,21081 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-03 6,968 6,958 113,33 113,33 789,68344 788,55014 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-04 7,01 7 113,72 113,72 797,1772 796,04 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-07 7,065 7,055 114,14 114,14 806,3991 805,2577 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-08 7,123 7,113 113,77 113,77 810,38371 809,24601 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-09 7,1 7,09 113,91 113,91 808,761 807,6219 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-10 7,088 7,078 113,88 113,88 807,18144 806,04264 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-11 7,068 7,058 114,1 114,1 806,4588 805,3178 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-14 7,03 7,02 115,25 115,25 810,2075 809,055 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-15 7,005 6,995 115,42 115,42 808,5171 807,3629 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-16 6,973 6,963 115,27 115,27 803,77771 802,62501 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-17 6,97 6,96 115,72 115,72 806,5684 805,4112 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-18 6,965 6,955 115,34 115,34 803,3431 802,1897 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-22 6,905 6,895 115,19 115,19 795,38695 794,23505 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-23 6,895 6,885 114,36 114,36 788,5122 787,3686 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-24 6,858 6,848 114,58 114,58 785,78964 784,64384 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-25 6,885 6,875 115,46 115,46 794,9421 793,7875 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-02-28 6,828 6,818 116,48 116,48 795,32544 794,16064 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-01 6,87 6,86 116,29 116,29 798,9123 797,7494 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-02 6,888 6,878 115,83 115,83 797,83704 796,67874 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-03 6,903 6,893 116,83 116,83 806,47749 805,30919 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-04 6,9 6,89 117,48 117,48 810,612 809,4372 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-07 6,84 6,83 117,88 117,88 806,2992 805,1204 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-08 6,825 6,815 118,11 118,11 806,10075 804,91965 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-09 6,76 6,75 117,79 117,79 796,2604 795,0825 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-10 6,745 6,735 117,35 117,35 791,52575 790,35225 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-11 6,765 6,755 117,51 117,51 794,95515 793,78005 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-14 6,76 6,75 116,64 116,64 788,4864 787,32 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-15 6,815 6,805 117,46 117,46 800,4899 799,3153 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-16 6,81 6,8 116,58 116,58 793,9098 792,744 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-17 6,795 6,785 115,95 115,95 787,88025 786,72075 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-18 6,828 6,818 116,09 116,09 792,66252 791,50162 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-21 6,908 6,898 115,7 115,7 799,2556 798,0986 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-22 6,928 6,918 115,49 115,49 800,11472 798,95982 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-23 6,973 6,963 113,66 113,66 792,55118 791,41458 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-24 7,008 6,998 114,04 114,04 799,19232 798,05192 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-29 7,055 7,045 113,19 113,19 798,55545 797,42355 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-30 7,053 7,043 112,48 112,48 793,32144 792,19664 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-03-31 7,065 7,055 113,81 113,81 804,06765 802,92955 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-01 7,07 7,06 114,18 114,18 807,2526 806,1108 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-04 7,113 7,103 112,87 112,87 802,84431 801,71561 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-05 7,163 7,153 113,97 113,97 816,36711 815,22741 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-06 7,125 7,115 114,37 114,37 814,88625 813,74255 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-07 7,083 7,073 114,68 114,68 812,27844 811,13164 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-08 7,153 7,143 115,05 115,05 822,95265 821,80215 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-11 7,098 7,088 114,81 114,81 814,92138 813,77328 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-12 7,048 7,038 114,07 114,07 803,96536 802,82466 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-13 7,075 7,065 114,73 114,73 811,71475 810,56745 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-14 7,12 7,11 113,84 113,84 810,5408 809,4024 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-15 7,17 7,16 112,72 112,72 808,2024 807,0752 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-18 7,08 7,07 110,83 110,83 784,6764 783,5681 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-19 7,068 7,058 112 112 791,616 790,496 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-20 7,043 7,033 111,59 111,59 785,92837 784,81247 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-21 7,025 7,015 111,92 111,92 786,238 785,1188 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-22 7,023 7,013 112,66 112,66 791,21118 790,08458 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-25 7,04 7,03 112,69 112,69 793,3376 792,2107 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-26 7,035 7,025 112,52 112,52 791,5782 790,453 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-27 7,085 7,075 111,43 111,43 789,48155 788,36725 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-28 7,085 7,075 111,33 111,33 788,77305 787,65975 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-04-29 7,08 7,07 111,68 111,68 790,6944 789,5776 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-02 7,15 7,14 112,18 112,18 802,087 800,9652 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-03 7,178 7,168 112,13 112,13 804,86914 803,74784 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-04 7,11 7,1 112,52 112,52 800,0172 798,892 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-06 7,085 7,075 113,72 113,72 805,7062 804,569 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-09 7,168 7,158 113,29 113,29 812,06272 810,92982 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-10 7,178 7,168 113 113 811,114 809,984 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-11 7,15 7,14 112,62 112,62 805,233 804,1068 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-12 7,243 7,233 112,74 112,74 816,57582 815,44842 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-13 7,265 7,255 111,5 111,5 810,0475 808,9325 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-16 7,32 7,31 111,21 111,21 814,0572 812,9451 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-17 7,313 7,303 111,59 111,59 816,05767 814,94177 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-18 7,3 7,29 112,51 112,51 821,323 820,1979 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-19 7,26 7,25 113,72 113,72 825,6072 824,47 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-20 7,28 7,27 113,46 113,46 825,9888 824,8542 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-23 7,32 7,31 113,86 113,86 833,4552 832,3166 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-24 7,295 7,285 113,9 113,9 830,9005 829,7615 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-25 7,298 7,288 113,75 113,75 830,1475 829,01 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-26 7,33 7,32 113,78 113,78 834,0074 832,8696 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-27 7,338 7,328 114,26 114,26 838,43988 837,29728 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-05-31 7,403 7,393 114,02 114,02 844,09006 842,94986 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-01 7,428 7,418 114,1 114,1 847,5348 846,3938 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-02 7,473 7,463 114,65 114,65 856,77945 855,63295 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-03 7,438 7,428 114,92 114,92 854,77496 853,62576 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-07 7,448 7,438 115,19 115,19 857,93512 856,78322 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-08 7,435 7,425 115,25 115,25 856,88375 855,73125 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-09 7,523 7,513 114,44 114,44 860,93212 859,78772 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-10 7,525 7,515 114,38 114,38 860,7095 859,5657 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-13 7,643 7,633 114,38 114,38 874,20634 873,06254 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-14 7,663 7,653 114,86 114,86 880,17218 879,02358 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-15 7,693 7,683 115,24 115,24 886,54132 885,38892 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-16 7,678 7,668 115,44 115,44 886,34832 885,19392 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-17 7,643 7,633 116,75 116,75 892,32025 891,15275 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-20 7,543 7,533 116,33 116,33 877,47719 876,31389 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-21 7,648 7,638 116,36 116,36 889,92128 888,75768 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-22 7,608 7,598 116,8 116,8 888,6144 887,4464 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-23 7,73 7,72 116,53 116,53 900,7769 899,6116 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-27 7,73 7,72 115,03 115,03 889,1819 888,0316 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-28 7,76 7,75 115,32 115,32 894,8832 893,73 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-29 7,833 7,823 115,5 115,5 904,7115 903,5565 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-06-30 7,823 7,813 115,97 115,97 907,23331 906,07361 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-01 7,858 7,848 115,56 115,56 908,07048 906,91488 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-05 7,963 7,953 114,78 114,78 913,99314 912,84534 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-06 7,895 7,885 115,9 115,9 915,0305 913,8715 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-07 7,878 7,868 114,03 114,03 898,32834 897,18804 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-08 7,913 7,903 115,38 115,38 913,00194 911,84814 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-11 7,89 7,88 116,73 116,73 920,9997 919,8324 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-12 7,77 7,76 117,63 117,63 913,9851 912,8088 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-13 7,703 7,693 117,73 117,73 906,87419 905,69689 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-14 7,76 7,75 118,29 118,29 917,9304 916,7475 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-15 7,76 7,75 117,78 117,78 913,9728 912,795 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-18 7,78 7,77 117,76 117,76 916,1728 914,9952 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-19 7,878 7,868 117,61 117,61 926,53158 925,35548 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-20 7,818 7,808 118,09 118,09 923,22762 922,04672 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-21 7,775 7,765 118,91 118,91 924,52525 923,33615 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-22 7,758 7,748 118,78 118,78 921,49524 920,30744 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-25 7,838 7,828 118,79 118,79 931,07602 929,88812 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-26 7,818 7,808 118,48 118,48 926,27664 925,09184 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-27 7,905 7,895 119,01 119,01 940,77405 939,58395 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-28 7,848 7,838 119,8 119,8 940,1904 938,9924 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-07-29 7,748 7,738 120,25 120,25 931,697 930,4945 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-01 7,72 7,71 120,43 120,43 929,7196 928,5153 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-02 7,7 7,69 120,54 120,54 928,158 926,9526 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-03 7,685 7,675 120,92 120,92 929,2702 928,061 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-04 7,618 7,608 120,48 120,48 917,81664 916,61184 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-05 7,548 7,538 119,87 119,87 904,77876 903,58006 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-08 7,558 7,548 120,22 120,22 908,62276 907,42056 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-09 7,548 7,538 120,12 120,12 906,66576 905,46456 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-10 7,558 7,548 121,57 121,57 918,82606 917,61036 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-11 7,523 7,513 121,9 121,9 917,0537 915,8347 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-12 7,46 7,45 122,04 122,04 910,4184 909,198 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-15 7,508 7,498 121,87 121,87 914,99996 913,78126 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-16 7,523 7,513 121,8 121,8 916,3014 915,0834 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-17 7,605 7,595 120,75 120,75 918,30375 917,09625 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-18 7,61 7,6 120,04 120,04 913,5044 912,304 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-19 7,698 7,688 120,57 120,57 928,14786 926,94216 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-22 7,69 7,68 121,7 121,7 935,873 934,656 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-23 7,663 7,653 120,98 120,98 927,06974 925,85994 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-24 7,673 7,663 120,75 120,75 926,51475 925,30725 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-25 7,588 7,578 120,04 120,04 910,86352 909,66312 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-26 7,578 7,568 120,02 120,02 909,51156 908,31136 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-29 7,573 7,563 119,35 119,35 903,83755 902,64405 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-30 7,633 7,623 119,54 119,54 912,44882 911,25342 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-08-31 7,668 7,658 119,99 119,99 920,08332 918,88342 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-01 7,568 7,558 121,59 121,59 920,19312 918,97722 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-02 7,435 7,425 121,99 121,99 906,99565 905,77575 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-06 7,485 7,475 122,47 122,47 916,68795 915,46325 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-07 7,43 7,42 122,82 122,82 912,5526 911,3244 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-08 7,498 7,488 122,59 122,59 919,17982 917,95392 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-09 7,523 7,513 123,05 123,05 925,70515 924,47465 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-12 7,555 7,545 123,54 123,54 933,3447 932,1093 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-13 7,57 7,56 122,89 122,89 930,2773 929,0484 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-14 7,61 7,6 122,86 122,86 934,9646 933,736 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-15 7,658 7,648 122,87 122,87 940,93846 939,70976 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-16 7,613 7,603 123,16 123,16 937,61708 936,38548 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-19 7,698 7,688 123,35 123,35 949,5483 948,3148 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-20 7,688 7,678 123,78 123,78 951,62064 950,38284 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-21 7,663 7,653 122,84 122,84 941,32292 940,09452 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-22 7,648 7,638 122,04 122,04 933,36192 932,14152 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-23 7,733 7,723 121,51 121,51 939,63683 938,42173 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-26 7,798 7,788 122,74 122,74 957,12652 955,89912 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-27 7,825 7,815 122,31 122,31 957,07575 955,85265 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-28 7,81 7,8 123,3 123,3 962,973 961,74 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-29 7,785 7,775 123,31 123,31 959,96835 958,73525 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-09-30 7,785 7,775 123,79 123,79 963,70515 962,46725 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-03 7,783 7,773 123,85 123,85 963,92455 962,68605 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-04 7,82 7,81 123,53 123,53 966,0046 964,7693 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-05 7,795 7,785 122,45 122,45 954,49775 953,27325 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-06 7,713 7,703 120,96 120,96 932,96448 931,75488 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-07 7,683 7,673 120,51 120,51 925,87833 924,67323 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-10 7,698 7,688 120,16 120,16 924,99168 923,79008 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-11 7,77 7,76 120,79 120,79 938,5383 937,3304 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-12 7,805 7,795 120,37 120,37 939,48785 938,28415 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-13 7,83 7,82 118,43 118,43 927,3069 926,1226 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-14 7,833 7,823 118,59 118,59 928,91547 927,72957 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-17 7,835 7,825 119,02 119,02 932,5217 931,3315 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-18 7,893 7,883 118,48 118,48 935,16264 933,97784 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-19 7,96 7,95 116,97 116,97 931,0812 929,9115 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-20 7,93 7,92 118,63 118,63 940,7359 939,5496 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-21 7,883 7,873 117,87 117,87 929,16921 927,99051 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-24 7,995 7,985 118,22 118,22 945,1689 943,9867 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-25 7,99 7,98 119,39 119,39 953,9261 952,7322 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-26 7,868 7,858 119,68 119,68 941,64224 940,44544 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-27 7,868 7,858 119,4 119,4 939,4392 938,2452 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-28 7,825 7,815 118,56 118,56 927,732 926,5464 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-10-31 7,905 7,895 120,51 120,51 952,63155 951,42645 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-01 7,963 7,953 121,05 121,05 963,92115 962,71065 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-02 7,98 7,97 121,34 121,34 968,2932 967,0798 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-03 8,01 8 122,99 122,99 985,1499 983,92 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-04 8,028 8,018 123,07 123,07 988,00596 986,77526 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-07 8,135 8,125 122,57 122,57 997,10695 995,88125 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-08 8,17 8,16 122,52 122,52 1000,9884 999,7632 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-09 8,12 8,11 122,47 122,47 994,4564 993,2317 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-10 8,173 8,163 122,94 122,94 1004,78862 1003,55922 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-11 8,235 8,225 123,86 123,86 1019,9871 1018,7485 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-14 8,133 8,123 123,9 123,9 1007,6787 1006,4397 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-15 8,185 8,175 123,01 123,01 1006,83685 1005,60675 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-16 8,21 8,2 122,79 122,79 1008,1059 1006,878 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-17 8,258 8,248 123,85 123,85 1022,7533 1021,5148 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-18 8,223 8,213 125,21 125,21 1029,60183 1028,34973 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-21 8,123 8,113 125,32 125,32 1017,97436 1016,72116 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-22 8,15 8,14 125,23 125,23 1020,6245 1019,3722 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-23 8,048 8,038 126,32 126,32 1016,62336 1015,36016 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-25 8,078 8,068 126,61 126,61 1022,75558 1021,48948 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-28 8,118 8,108 126,38 126,38 1025,95284 1024,68904 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-29 8,015 8,005 126,46 126,46 1013,5769 1012,3123 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-11-30 8,088 8,078 125,78 125,78 1017,30864 1016,05084 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-01 8,083 8,073 126,6 126,6 1023,3078 1022,0418 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-02 8,103 8,093 127,23 127,23 1030,94469 1029,67239 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-05 8,045 8,035 127,78 127,78 1027,9901 1026,7123 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-06 7,993 7,983 127,71 127,71 1020,78603 1019,50893 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-07 8,015 8,005 128,24 128,24 1027,8436 1026,5612 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-08 7,988 7,978 127,41 127,41 1017,75108 1016,47698 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-12 7,953 7,943 129,13 129,13 1026,97089 1025,67959 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-13 7,905 7,895 129,03 129,03 1019,98215 1018,69185 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-14 7,848 7,838 129,59 129,59 1017,02232 1015,72642 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-15 7,858 7,848 129,28 129,28 1015,88224 1014,58944 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-16 7,903 7,893 129,43 129,43 1022,88529 1021,59099 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-19 7,865 7,855 129,27 129,27 1016,70855 1015,41585 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-20 7,848 7,838 129,11 129,11 1013,25528 1011,96418 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-21 7,948 7,938 129,75 129,75 1031,253 1029,9555 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-22 7,98 7,97 130 130 1037,4 1036,1 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-23 7,955 7,945 130,12 130,12 1035,1046 1033,8034 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-27 8,01 8 130,31 130,31 1043,7831 1042,48 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-28 7,915 7,905 130,04 130,04 1029,2666 1027,9662 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-29 7,938 7,928 129,98 129,98 1031,78124 1030,48144 640466 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Select Equity Fund USD 2005-12-30 7,958 7,948 129,18 129,18 1028,01444 1026,72264 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-03 6,668 6,658 35,76 35,76 238,44768 238,09008 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-04 6,728 6,718 35,37 35,37 237,96936 237,61566 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-05 6,828 6,818 34,92 34,92 238,43376 238,08456 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-07 6,87 6,86 35 35 240,45 240,1 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-10 6,96091 6,95091 34,85 34,85 242,5877135 242,2392135 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-11 6,96091 6,95091 34,73 34,73 241,7524043 241,4051043 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-12 6,913 6,903 34,68 34,68 239,74284 239,39604 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-13 6,843 6,833 34,64 34,64 237,04152 236,69512 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-14 6,915 6,905 34,51 34,51 238,63665 238,29155 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-18 6,968 6,958 34,32 34,32 239,14176 238,79856 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-19 6,91 6,9 34,52 34,52 238,5332 238,188 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-20 6,96 6,95 33,9 33,9 235,944 235,605 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-21 6,978 6,968 33,9 33,9 236,5542 236,2152 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-24 6,933 6,923 33,68 33,68 233,50344 233,16664 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-25 6,95 6,94 33,66 33,66 233,937 233,6004 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-26 6,995 6,985 33,84 33,84 236,7108 236,3724 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-27 6,93 6,92 33,64 33,64 233,1252 232,7888 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-28 6,985 6,975 33,82 33,82 236,2327 235,8945 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-01-31 6,998 6,988 33,94 33,94 237,51212 237,17272 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-01 6,993 6,983 33,84 33,84 236,64312 236,30472 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-02 6,953 6,943 33,99 33,99 236,33247 235,99257 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-03 6,968 6,958 33,84 33,84 235,79712 235,45872 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-04 7,01 7 33,88 33,88 237,4988 237,16 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-07 7,065 7,055 34,19 34,19 241,55235 241,21045 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-08 7,123 7,113 34,15 34,15 243,25045 242,90895 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-09 7,1 7,09 34,19 34,19 242,749 242,4071 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-10 7,088 7,078 33,96 33,96 240,70848 240,36888 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-11 7,068 7,058 33,78 33,78 238,75704 238,41924 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-14 7,03 7,02 34,36 34,36 241,5508 241,2072 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-15 7,005 6,995 34,44 34,44 241,2522 240,9078 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-16 6,973 6,963 34,36 34,36 239,59228 239,24868 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-17 6,97 6,96 34,28 34,28 238,9316 238,5888 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-18 6,965 6,955 34 34 236,81 236,47 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-22 6,905 6,895 33,86 33,86 233,8033 233,4647 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-23 6,895 6,885 33,67 33,67 232,15465 231,81795 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-24 6,858 6,848 33,66 33,66 230,84028 230,50368 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-25 6,885 6,875 33,93 33,93 233,60805 233,26875 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-02-28 6,828 6,818 34,2 34,2 233,5176 233,1756 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-01 6,87 6,86 34,2 34,2 234,954 234,612 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-02 6,888 6,878 34,06 34,06 234,60528 234,26468 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-03 6,903 6,893 34,21 34,21 236,15163 235,80953 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-04 6,9 6,89 34,32 34,32 236,808 236,4648 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-07 6,84 6,83 34,46 34,46 235,7064 235,3618 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-08 6,825 6,815 34,66 34,66 236,5545 236,2079 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-09 6,76 6,75 34,45 34,45 232,882 232,5375 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-10 6,745 6,735 34,34 34,34 231,6233 231,2799 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-11 6,765 6,755 34,45 34,45 233,05425 232,70975 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-14 6,76 6,75 33,94 33,94 229,4344 229,095 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-15 6,815 6,805 34,04 34,04 231,9826 231,6422 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-16 6,81 6,8 33,78 33,78 230,0418 229,704 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-17 6,795 6,785 33,44 33,44 227,2248 226,8904 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-18 6,828 6,818 33,36 33,36 227,78208 227,44848 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-21 6,908 6,898 33,22 33,22 229,48376 229,15156 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-22 6,928 6,918 33,27 33,27 230,49456 230,16186 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-23 6,973 6,963 32,93 32,93 229,62089 229,29159 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-24 7,008 6,998 33,07 33,07 231,75456 231,42386 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-29 7,055 7,045 32,82 32,82 231,5451 231,2169 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-30 7,053 7,043 32,72 32,72 230,77416 230,44696 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-03-31 7,065 7,055 33,11 33,11 233,92215 233,59105 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-01 7,07 7,06 33,15 33,15 234,3705 234,039 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-04 7,113 7,103 32,73 32,73 232,80849 232,48119 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-05 7,163 7,153 33,08 33,08 236,95204 236,62124 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-06 7,125 7,115 33,05 33,05 235,48125 235,15075 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-07 7,083 7,073 33,12 33,12 234,58896 234,25776 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-08 7,153 7,143 33,26 33,26 237,90878 237,57618 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-11 7,098 7,088 33,09 33,09 234,87282 234,54192 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-12 7,048 7,038 32,75 32,75 230,822 230,4945 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-13 7,075 7,065 32,94 32,94 233,0505 232,7211 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-14 7,12 7,11 32,6 32,6 232,112 231,786 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-15 7,17 7,16 31,88 31,88 228,5796 228,2608 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-18 7,08 7,07 31,51 31,51 223,0908 222,7757 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-19 7,068 7,058 31,7 31,7 224,0556 223,7386 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-20 7,043 7,033 31,77 31,77 223,75611 223,43841 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-21 7,025 7,015 31,97 31,97 224,58925 224,26955 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-22 7,023 7,013 32,15 32,15 225,78945 225,46795 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-25 7,04 7,03 32,15 32,15 226,336 226,0145 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-26 7,035 7,025 32,01 32,01 225,19035 224,87025 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-27 7,085 7,075 31,75 31,75 224,94875 224,63125 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-28 7,085 7,075 31,78 31,78 225,1613 224,8435 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-04-29 7,08 7,07 31,85 31,85 225,498 225,1795 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-02 7,15 7,14 32,06 32,06 229,229 228,9084 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-03 7,178 7,168 32,01 32,01 229,76778 229,44768 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-04 7,11 7,1 32,16 32,16 228,6576 228,336 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-06 7,085 7,075 32,52 32,52 230,4042 230,079 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-09 7,168 7,158 32,43 32,43 232,45824 232,13394 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-10 7,178 7,168 32,31 32,31 231,92118 231,59808 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-11 7,15 7,14 32,21 32,21 230,3015 229,9794 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-12 7,243 7,233 32,31 32,31 234,02133 233,69823 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-13 7,265 7,255 32,27 32,27 234,44155 234,11885 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-16 7,32 7,31 32,43 32,43 237,3876 237,0633 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-17 7,313 7,303 32,5 32,5 237,6725 237,3475 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-18 7,3 7,29 32,7 32,7 238,71 238,383 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-19 7,26 7,25 33,24 33,24 241,3224 240,99 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-20 7,28 7,27 33,25 33,25 242,06 241,7275 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-23 7,32 7,31 33,53 33,53 245,4396 245,1043 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-24 7,295 7,285 33,38 33,38 243,5071 243,1733 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-25 7,298 7,288 33,32 33,32 243,16936 242,83616 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-26 7,33 7,32 33,4 33,4 244,822 244,488 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-27 7,338 7,328 33,51 33,51 245,89638 245,56128 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-05-31 7,403 7,393 33,38 33,38 247,11214 246,77834 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-01 7,428 7,418 33,37 33,37 247,87236 247,53866 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-02 7,473 7,463 33,55 33,55 250,71915 250,38365 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-03 7,438 7,428 33,64 33,64 250,21432 249,87792 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-07 7,448 7,438 33,53 33,53 249,73144 249,39614 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-08 7,435 7,425 33,51 33,51 249,14685 248,81175 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-09 7,523 7,513 33,23 33,23 249,98929 249,65699 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-10 7,525 7,515 33,09 33,09 249,00225 248,67135 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-13 7,643 7,633 33,09 33,09 252,90687 252,57597 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-14 7,663 7,653 33,27 33,27 254,94801 254,61531 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-15 7,693 7,683 33,32 33,32 256,33076 255,99756 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-16 7,678 7,668 33,35 33,35 256,0613 255,7278 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-17 7,643 7,633 33,53 33,53 256,26979 255,93449 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-20 7,543 7,533 33,33 33,33 251,40819 251,07489 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-21 7,648 7,638 33,39 33,39 255,36672 255,03282 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-22 7,608 7,598 33,64 33,64 255,93312 255,59672 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-23 7,73 7,72 33,72 33,72 260,6556 260,3184 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-27 7,73 7,72 32,97 32,97 254,8581 254,5284 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-28 7,76 7,75 32,96 32,96 255,7696 255,44 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-29 7,833 7,823 33,17 33,17 259,82061 259,48891 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-06-30 7,823 7,813 33,28 33,28 260,34944 260,01664 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-01 7,858 7,848 33,09 33,09 260,02122 259,69032 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-05 7,963 7,953 32,76 32,76 260,86788 260,54028 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-06 7,895 7,885 33,12 33,12 261,4824 261,1512 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-07 7,878 7,868 32,59 32,59 256,74402 256,41812 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-08 7,913 7,903 32,92 32,92 260,49596 260,16676 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-11 7,89 7,88 33,56 33,56 264,7884 264,4528 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-12 7,77 7,76 33,93 33,93 263,6361 263,2968 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-13 7,703 7,693 33,95 33,95 261,51685 261,17735 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-14 7,76 7,75 34,25 34,25 265,78 265,4375 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-15 7,76 7,75 34,15 34,15 265,004 264,6625 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-18 7,78 7,77 34,1 34,1 265,298 264,957 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-19 7,878 7,868 34,19 34,19 269,34882 269,00692 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-20 7,818 7,808 34,14 34,14 266,90652 266,56512 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-21 7,775 7,765 34,43 34,43 267,69325 267,34895 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-22 7,758 7,748 34,27 34,27 265,86666 265,52396 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-25 7,838 7,828 34,17 34,17 267,82446 267,48276 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-26 7,818 7,808 34,03 34,03 266,04654 265,70624 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-27 7,905 7,895 34,11 34,11 269,63955 269,29845 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-28 7,848 7,838 34,47 34,47 270,52056 270,17586 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-07-29 7,748 7,738 34,43 34,43 266,76364 266,41934 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-01 7,72 7,71 34,39 34,39 265,4908 265,1469 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-02 7,7 7,69 34,6 34,6 266,42 266,074 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-03 7,685 7,675 34,75 34,75 267,05375 266,70625 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-04 7,618 7,608 34,81 34,81 265,18258 264,83448 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-05 7,548 7,538 34,64 34,64 261,46272 261,11632 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-08 7,558 7,548 34,67 34,67 262,03586 261,68916 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-09 7,548 7,538 34,65 34,65 261,5382 261,1917 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-10 7,558 7,548 34,94 34,94 264,07652 263,72712 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-11 7,523 7,513 34,72 34,72 261,19856 260,85136 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-12 7,46 7,45 34,54 34,54 257,6684 257,323 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-15 7,508 7,498 34,46 34,46 258,72568 258,38108 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-16 7,523 7,513 34,46 34,46 259,24258 258,89798 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-17 7,605 7,595 34,24 34,24 260,3952 260,0528 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-18 7,61 7,6 34,04 34,04 259,0444 258,704 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-19 7,698 7,688 34,12 34,12 262,65576 262,31456 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-22 7,69 7,68 34,39 34,39 264,4591 264,1152 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-23 7,663 7,653 34,25 34,25 262,45775 262,11525 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-24 7,673 7,663 34,2 34,2 262,4166 262,0746 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-25 7,588 7,578 33,99 33,99 257,91612 257,57622 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-26 7,578 7,568 33,94 33,94 257,19732 256,85792 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-29 7,573 7,563 33,82 33,82 256,11886 255,78066 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-30 7,633 7,623 33,84 33,84 258,30072 257,96232 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-08-31 7,668 7,658 33,97 33,97 260,48196 260,14226 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-01 7,568 7,558 34,26 34,26 259,27968 258,93708 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-02 7,435 7,425 34,4 34,4 255,764 255,42 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-06 7,485 7,475 34,52 34,52 258,3822 258,037 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-07 7,43 7,42 34,56 34,56 256,7808 256,4352 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-08 7,498 7,488 34,56 34,56 259,13088 258,78528 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-09 7,523 7,513 34,69 34,69 260,97287 260,62597 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-12 7,555 7,545 34,82 34,82 263,0651 262,7169 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-13 7,57 7,56 34,74 34,74 262,9818 262,6344 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-14 7,61 7,6 34,74 34,74 264,3714 264,024 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-15 7,658 7,648 34,52 34,52 264,35416 264,00896 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-16 7,613 7,603 34,45 34,45 262,26785 261,92335 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-19 7,698 7,688 34,41 34,41 264,88818 264,54408 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-20 7,688 7,678 34,45 34,45 264,8516 264,5071 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-21 7,663 7,653 34,11 34,11 261,38493 261,04383 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-22 7,648 7,638 33,77 33,77 258,27296 257,93526 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-23 7,733 7,723 33,59 33,59 259,75147 259,41557 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-26 7,798 7,788 33,84 33,84 263,88432 263,54592 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-27 7,825 7,815 33,67 33,67 263,46775 263,13105 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-28 7,81 7,8 33,61 33,61 262,4941 262,158 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-29 7,785 7,775 33,52 33,52 260,9532 260,618 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-09-30 7,785 7,775 33,91 33,91 263,98935 263,65025 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-03 7,783 7,773 34,02 34,02 264,77766 264,43746 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-04 7,82 7,81 33,94 33,94 265,4108 265,0714 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-05 7,795 7,785 33,79 33,79 263,39305 263,05515 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-06 7,713 7,703 33,53 33,53 258,61689 258,28159 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-07 7,683 7,673 33,26 33,26 255,53658 255,20398 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-10 7,698 7,688 33,11 33,11 254,88078 254,54968 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-11 7,77 7,76 33,11 33,11 257,2647 256,9336 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-12 7,805 7,795 32,84 32,84 256,3162 255,9878 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-13 7,83 7,82 32,39 32,39 253,6137 253,2898 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-14 7,833 7,823 32,64 32,64 255,66912 255,34272 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-17 7,835 7,825 32,73 32,73 256,43955 256,11225 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-18 7,893 7,883 32,49 32,49 256,44357 256,11867 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-19 7,96 7,95 32,2 32,2 256,312 255,99 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-20 7,93 7,92 32,68 32,68 259,1524 258,8256 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-21 7,883 7,873 32,59 32,59 256,90697 256,58107 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-24 7,995 7,985 32,64 32,64 260,9568 260,6304 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-25 7,99 7,98 32,91 32,91 262,9509 262,6218 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-26 7,868 7,858 32,86 32,86 258,54248 258,21388 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-27 7,868 7,858 32,61 32,61 256,57548 256,24938 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-28 7,825 7,815 32,35 32,35 253,13875 252,81525 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-10-31 7,905 7,895 32,81 32,81 259,36305 259,03495 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-01 7,963 7,953 32,99 32,99 262,69937 262,36947 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-02 7,98 7,97 33,04 33,04 263,6592 263,3288 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-03 8,01 8 33,61 33,61 269,2161 268,88 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-04 8,028 8,018 33,61 33,61 269,82108 269,48498 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-07 8,135 8,125 33,5 33,5 272,5225 272,1875 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-08 8,17 8,16 33,5 33,5 273,695 273,36 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-09 8,12 8,11 33,52 33,52 272,1824 271,8472 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-10 8,173 8,163 33,57 33,57 274,36761 274,03191 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-11 8,235 8,225 33,85 33,85 278,75475 278,41625 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-14 8,133 8,123 33,77 33,77 274,65141 274,31371 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-15 8,185 8,175 33,45 33,45 273,78825 273,45375 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-16 8,21 8,2 33,38 33,38 274,0498 273,716 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-17 8,258 8,248 33,57 33,57 277,22106 276,88536 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-18 8,223 8,213 34,04 34,04 279,91092 279,57052 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-21 8,123 8,113 33,96 33,96 275,85708 275,51748 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-22 8,15 8,14 33,9 33,9 276,285 275,946 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-23 8,048 8,038 34,38 34,38 276,69024 276,34644 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-25 8,078 8,068 34,47 34,47 278,44866 278,10396 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-28 8,118 8,108 34,43 34,43 279,50274 279,15844 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-29 8,015 8,005 34,61 34,61 277,39915 277,05305 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-11-30 8,088 8,078 34,39 34,39 278,14632 277,80242 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-01 8,083 8,073 34,54 34,54 279,18682 278,84142 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-02 8,103 8,093 34,67 34,67 280,93101 280,58431 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-05 8,045 8,035 34,66 34,66 278,8397 278,4931 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-06 7,993 7,983 34,71 34,71 277,43703 277,08993 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-07 8,015 8,005 34,8 34,8 278,922 278,574 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-08 7,988 7,978 34,64 34,64 276,70432 276,35792 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-12 7,953 7,943 34,82 34,82 276,92346 276,57526 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-13 7,905 7,895 34,67 34,67 274,06635 273,71965 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-14 7,848 7,838 34,75 34,75 272,718 272,3705 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-15 7,858 7,848 34,7 34,7 272,6726 272,3256 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-16 7,903 7,893 34,51 34,51 272,73253 272,38743 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-19 7,865 7,855 34,36 34,36 270,2414 269,8978 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-20 7,848 7,838 34,11 34,11 267,69528 267,35418 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-21 7,948 7,938 34,24 34,24 272,13952 271,79712 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-22 7,98 7,97 34,34 34,34 274,0332 273,6898 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-23 7,955 7,945 34,6 34,6 275,243 274,897 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-27 8,01 8 34,59 34,59 277,0659 276,72 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-28 7,915 7,905 34,45 34,45 272,67175 272,32725 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-29 7,938 7,928 34,43 34,43 273,30534 272,96104 532978 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Global Teletech Fund USD 2005-12-30 7,958 7,948 34,1 34,1 271,3678 271,0268 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-04 0,06545 0,06535 8507 8507 556,78315 555,93245 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-05 0,0653 0,0652 8423 8423 550,0219 549,1796 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-07 0,06565 0,06555 8460 8460 555,399 554,553 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-11 0,06651 0,06641 8533 8533 567,52983 566,67653 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-12 0,06685 0,06675 8462 8462 565,6847 564,8385 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-13 0,06685 0,06675 8398 8398 561,4063 560,5665 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-14 0,0672 0,0671 8435 8435 566,832 565,9885 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-17 0,0679 0,0678 8479 8479 575,7241 574,8762 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-18 0,0679 0,0678 8438 8438 572,9402 572,0964 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-19 0,06745 0,06735 8433 8433 568,80585 567,96255 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-20 0,06765 0,06755 8347 8347 564,67455 563,83985 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-21 0,06725 0,06715 8332 8332 560,327 559,4938 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-24 0,06745 0,06735 8378 8378 565,0961 564,2583 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-25 0,0674 0,0673 8363 8363 563,6662 562,8299 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-26 0,06755 0,06745 8432 8432 569,5816 568,7384 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-27 0,0672 0,0671 8422 8422 565,9584 565,1162 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-28 0,0677 0,0676 8400 8400 568,68 567,84 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-01-31 0,0676 0,0675 8429 8429 569,8004 568,9575 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-01 0,06725 0,06715 8410 8410 565,5725 564,7315 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-02 0,0671 0,067 8460 8460 567,666 566,82 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-03 0,06695 0,06685 8433 8433 564,58935 563,74605 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-04 0,0671 0,067 8386 8386 562,7006 561,862 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-07 0,0677 0,0676 8441 8441 571,4557 570,6116 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-08 0,06765 0,06755 8453 8453 571,84545 571,00015 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-09 0,06725 0,06715 8463 8463 569,13675 568,29045 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-10 0,06715 0,06705 8504 8504 571,0436 570,1932 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-14 0,0671 0,067 8559 8559 574,3089 573,453 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-15 0,0667 0,0666 8575 8575 571,9525 571,095 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-16 0,06635 0,06625 8555 8555 567,62425 566,76875 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-17 0,06615 0,06605 8540 8540 564,921 564,067 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-18 0,06615 0,06605 8586 8586 567,9639 567,1053 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-21 0,06605 0,06595 8595 8595 567,69975 566,84025 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-22 0,06605 0,06595 8556 8556 565,1238 564,2682 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-23 0,0658 0,0657 8478 8478 557,8524 557,0046 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-24 0,0655 0,0654 8502 8502 556,881 556,0308 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-25 0,06545 0,06535 8584 8584 561,8228 560,9644 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-02-28 0,06545 0,06535 8668 8668 567,3206 566,4538 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-01 0,06565 0,06555 8688 8688 570,3672 569,4984 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-02 0,06585 0,06575 8738 8738 575,3973 574,5235 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-03 0,06575 0,06565 8759 8759 575,90425 575,02835 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-04 0,06545 0,06535 8767 8767 573,80015 572,92345 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-07 0,0652 0,0651 8803 8803 573,9556 573,0753 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-08 0,06505 0,06495 8780 8780 571,139 570,261 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-09 0,06465 0,06455 8805 8805 569,24325 568,36275 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-10 0,06485 0,06475 8768 8768 568,6048 567,728 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-11 0,065 0,0649 8787 8787 571,155 570,2763 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-14 0,0647 0,0646 8749 8749 566,0603 565,1854 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-15 0,06505 0,06495 8741 8741 568,60205 567,72795 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-16 0,06535 0,06525 8773 8773 573,31555 572,43825 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-17 0,0652 0,0651 8719 8719 568,4788 567,6069 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-18 0,0652 0,0651 8794 8794 573,3688 572,4894 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-22 0,06595 0,06585 8799 8799 580,29405 579,41415 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-23 0,06615 0,06605 8747 8747 578,61405 577,73935 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-24 0,0659 0,0658 8702 8702 573,4618 572,5916 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-29 0,06595 0,06585 8656 8656 570,8632 569,9976 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-30 0,06575 0,06565 8600 8600 565,45 564,59 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-03-31 0,06595 0,06585 8693 8693 573,30335 572,43405 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-01 0,06585 0,06575 8719 8719 574,14615 573,27425 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-04 0,06595 0,06585 8710 8710 574,4245 573,5535 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-05 0,06585 0,06575 8769 8769 577,43865 576,56175 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-06 0,06595 0,06585 8820 8820 581,679 580,797 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-07 0,06545 0,06535 8827 8827 577,72715 576,84445 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-08 0,0658 0,0657 8845 8845 582,001 581,1165 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-11 0,06555 0,06545 8751 8751 573,62805 572,75295 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-12 0,06545 0,06535 8674 8674 567,7133 566,8459 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-13 0,0659 0,0658 8643 8643 569,5737 568,7094 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-14 0,06615 0,06605 8575 8575 567,23625 566,37875 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-15 0,06625 0,06615 8450 8450 559,8125 558,9675 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-18 0,0658 0,0657 8152 8152 536,4016 535,5864 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-19 0,06595 0,06585 8285 8285 546,39575 545,56725 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-20 0,0659 0,0658 8315 8315 547,9585 547,127 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-21 0,0657 0,0656 8262 8262 542,8134 541,9872 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-22 0,06585 0,06575 8313 8313 547,41105 546,57975 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-25 0,0666 0,0665 8309 8309 553,3794 552,5485 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-26 0,0664 0,0663 8293 8293 550,6552 549,8259 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-27 0,06675 0,06665 8297 8297 553,82475 552,99505 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-04-28 0,0669 0,0668 8305 8305 555,6045 554,774 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-02 0,068 0,0679 8322 8322 565,896 565,0638 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-06 0,0677 0,0676 8456 8456 572,4712 571,6256 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-09 0,06805 0,06795 8412 8412 572,4366 571,5954 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-10 0,0678 0,0677 8429 8429 571,4862 570,6433 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-11 0,06765 0,06755 8405 8405 568,59825 567,75775 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-12 0,06815 0,06805 8392 8392 571,9148 571,0756 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-13 0,068 0,0679 8342 8342 567,256 566,4218 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-16 0,06795 0,06785 8264 8264 561,5388 560,7124 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-17 0,06825 0,06815 8182 8182 558,4215 557,6033 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-18 0,06785 0,06775 8161 8161 553,72385 552,90775 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-19 0,06775 0,06765 8340 8340 565,035 564,201 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-20 0,0677 0,0676 8320 8320 563,264 562,432 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-23 0,06775 0,06765 8385 8385 568,08375 567,24525 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-24 0,0679 0,0678 8375 8375 568,6625 567,825 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-25 0,06795 0,06785 8283 8283 562,82985 562,00155 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-26 0,06785 0,06775 8270 8270 561,1195 560,2925 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-27 0,06805 0,06795 8333 8333 567,06065 566,22735 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-30 0,068 0,0679 8409 8409 571,812 570,9711 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-05-31 0,06835 0,06825 8443 8443 577,07905 576,23475 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-01 0,06855 0,06845 8466 8466 580,3443 579,4977 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-02 0,069 0,0689 8455 8455 583,395 582,5495 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-03 0,06895 0,06885 8451 8451 582,69645 581,85135 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-07 0,06975 0,06965 8404 8404 586,179 585,3386 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-08 0,0696 0,0695 8454 8454 588,3984 587,553 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-09 0,0702 0,0701 8382 8382 588,4164 587,5782 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-10 0,0701 0,07 8467 8467 593,5367 592,69 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-13 0,07035 0,07025 8467 8467 595,65345 594,80675 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-14 0,0701 0,07 8481 8481 594,5181 593,67 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-15 0,07045 0,07035 8533 8533 601,14985 600,29655 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-16 0,07025 0,07015 8554 8554 600,9185 600,0631 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-17 0,0702 0,0701 8664 8664 608,2128 607,3464 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-20 0,06935 0,06925 8645 8645 599,53075 598,66625 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-21 0,06995 0,06985 8622 8622 603,1089 602,2467 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-22 0,07015 0,07005 8647 8647 606,58705 605,72235 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-23 0,0711 0,071 8659 8659 615,6549 614,789 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-27 0,07085 0,07075 8565 8565 606,83025 605,97375 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-28 0,0707 0,0706 8622 8622 609,5754 608,7132 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-29 0,0711 0,071 8675 8675 616,7925 615,925 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-06-30 0,0709 0,0708 8673 8673 614,9157 614,0484 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-01 0,07065 0,07055 8711 8711 615,43215 614,56105 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-04 0,07125 0,07115 8736 8736 622,44 621,5664 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-05 0,07115 0,07105 8703 8703 619,21845 618,34815 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-06 0,07075 0,07065 8702 8702 615,6665 614,7963 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-07 0,07025 0,07015 8654 8654 607,9435 607,0781 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-08 0,07045 0,07035 8625 8625 607,63125 606,76875 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-11 0,0705 0,0704 8686 8686 612,363 611,4944 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-12 0,0699 0,0698 8685 8685 607,0815 606,213 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-13 0,06915 0,06905 8694 8694 601,1901 600,3207 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-14 0,0694 0,0693 8746 8746 606,9724 606,0978 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-15 0,0694 0,0693 8754 8754 607,5276 606,6522 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-19 0,06995 0,06985 8735 8735 611,01325 610,13975 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-20 0,0691 0,069 8779 8779 606,6289 605,751 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-21 0,06925 0,06915 8748 8748 605,799 604,9242 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-22 0,06995 0,06985 8697 8697 608,35515 607,48545 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-25 0,07005 0,06995 8719 8719 610,76595 609,89405 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-26 0,06995 0,06985 8701 8701 608,63495 607,76485 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-27 0,07015 0,07005 8776 8776 615,6364 614,7588 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-28 0,0697 0,0696 8796 8796 613,0812 612,2016 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-07-29 0,06915 0,06905 8804 8804 608,7966 607,9162 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-01 0,0689 0,0688 8869 8869 611,0741 610,1872 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-02 0,0691 0,069 8838 8838 610,7058 609,822 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-03 0,06885 0,06875 8871 8871 610,76835 609,88125 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-04 0,0686 0,0685 8818 8818 604,9148 604,033 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-05 0,0678 0,0677 8710 8710 590,538 589,667 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-08 0,0674 0,0673 8745 8745 589,413 588,5385 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-09 0,06745 0,06735 8837 8837 596,05565 595,17195 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-10 0,06805 0,06795 8992 8992 611,9056 611,0064 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-11 0,06825 0,06815 9104 9104 621,348 620,4376 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-12 0,06805 0,06795 9118 9118 620,4799 619,5681 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-15 0,06855 0,06845 9135 9135 626,20425 625,29075 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-16 0,06895 0,06885 9158 9158 631,4441 630,5283 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-17 0,06915 0,06905 9136 9136 631,7544 630,8408 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-18 0,0691 0,069 9133 9133 631,0903 630,177 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-19 0,06965 0,06955 9115 9115 634,85975 633,94825 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-22 0,07 0,0699 9272 9272 649,04 648,1128 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-23 0,06965 0,06955 9286 9286 646,7699 645,8413 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-24 0,0694 0,0693 9310 9310 646,114 645,183 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-25 0,06905 0,06895 9249 9249 638,64345 637,71855 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-26 0,069 0,0689 9283 9283 640,527 639,5987 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-29 0,0687 0,0686 9193 9193 631,5591 630,6398 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-30 0,0688 0,0687 9309 9309 640,4592 639,5283 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-08-31 0,0688 0,0687 9311 9311 640,5968 639,6657 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-01 0,06825 0,06815 9353 9353 638,34225 637,40695 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-02 0,0678 0,0677 9372 9372 635,4216 634,4844 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-05 0,06775 0,06765 9435 9435 639,22125 638,27775 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-06 0,06825 0,06815 9398 9398 641,4135 640,4737 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-07 0,0678 0,0677 9386 9386 636,3708 635,4322 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-08 0,068 0,0679 9319 9319 633,692 632,7601 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-09 0,0681 0,068 9417 9417 641,2977 640,356 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-12 0,06875 0,06865 9542 9542 656,0125 655,0583 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-13 0,0685 0,0684 9578 9578 656,093 655,1352 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-14 0,0688 0,0687 9545 9545 656,696 655,7415 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-15 0,06925 0,06915 9669 9669 669,57825 668,61135 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-16 0,0688 0,0687 9681 9681 666,0528 665,0847 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-20 0,0691 0,069 9854 9854 680,9114 679,926 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-21 0,06865 0,06855 9911 9911 680,39015 679,39905 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-22 0,06875 0,06865 9891 9891 680,00625 679,01715 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-26 0,06935 0,06925 10141 10141 703,27835 702,26425 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-27 0,0693 0,0692 10108 10108 700,4844 699,4736 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-28 0,06915 0,06905 10324 10324 713,9046 712,8722 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-29 0,06895 0,06885 10522 10522 725,4919 724,4397 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-09-30 0,06865 0,06855 10389 10389 713,20485 712,16595 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-03 0,06835 0,06825 10368 10368 708,6528 707,616 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-04 0,0685 0,0684 10442 10442 715,277 714,2328 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-05 0,06845 0,06835 10332 10332 707,2254 706,1922 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-06 0,06785 0,06775 10053 10053 682,09605 681,09075 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-07 0,06775 0,06765 10065 10065 681,90375 680,89725 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-11 0,0681 0,068 10333 10333 703,6773 702,644 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-12 0,0681 0,068 10309 10309 702,0429 701,012 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-13 0,0682 0,0681 10298 10298 702,3236 701,2938 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-14 0,0684 0,0683 10167 10167 695,4228 694,4061 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-17 0,0686 0,0685 10119 10119 694,1634 693,1515 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-18 0,0684 0,0683 10133 10133 693,0972 692,0839 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-19 0,06865 0,06855 10042 10042 689,3833 688,3791 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-20 0,0686 0,0685 10058 10058 689,9788 688,973 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-21 0,06845 0,06835 10075 10075 689,63375 688,62625 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-24 0,0692 0,0691 10003 10003 692,2076 691,2073 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-25 0,0691 0,069 10124 10124 699,5684 698,556 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-26 0,06825 0,06815 10206 10206 696,5595 695,5389 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-27 0,06825 0,06815 10323 10323 704,54475 703,51245 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-28 0,06795 0,06785 10261 10261 697,23495 696,20885 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-10-31 0,0684 0,0683 10419 10419 712,6596 711,6177 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-01 0,0683 0,0682 10612 10612 724,7996 723,7384 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-02 0,06825 0,06815 10648 10648 726,726 725,6612 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-04 0,06825 0,06815 10824 10824 738,738 737,6556 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-07 0,069 0,0689 10811 10811 745,959 744,8779 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-08 0,0693 0,0692 10821 10821 749,8953 748,8132 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-09 0,0692 0,0691 10750 10750 743,9 742,825 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-10 0,06945 0,06935 10736 10736 745,6152 744,5416 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-11 0,0699 0,0698 10816 10816 756,0384 754,9568 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-14 0,0689 0,0688 10702 10702 737,3678 736,2976 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-15 0,0689 0,0688 10661 10661 734,5429 733,4768 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-16 0,06895 0,06885 10759 10759 741,83305 740,75715 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-17 0,06955 0,06945 10916 10916 759,2078 758,1162 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-18 0,0689 0,0688 11063 11063 762,2407 761,1344 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-21 0,0682 0,0681 11040 11040 752,928 751,824 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-22 0,06845 0,06835 11039 11039 755,61955 754,51565 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-24 0,06785 0,06775 10949 10949 742,88965 741,79475 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-25 0,06775 0,06765 11043 11043 748,16325 747,05895 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-28 0,0677 0,0676 11140 11140 754,178 753,064 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-29 0,06735 0,06725 11125 11125 749,26875 748,15625 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-11-30 0,0677 0,0676 11078 11078 749,9806 748,8728 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-01 0,06745 0,06735 11226 11226 757,1937 756,0711 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-02 0,0672 0,0671 11371 11371 764,1312 762,9941 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-05 0,06635 0,06625 11470 11470 761,0345 759,8875 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-06 0,066 0,0659 11422 11422 753,852 752,7098 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-07 0,06635 0,06625 11494 11494 762,6269 761,4775 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-08 0,06635 0,06625 11275 11275 748,09625 746,96875 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-12 0,06595 0,06585 11629 11629 766,93255 765,76965 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-13 0,06585 0,06575 11689 11689 769,72065 768,55175 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-14 0,0662 0,0661 11496 11496 761,0352 759,8856 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-15 0,06745 0,06735 11349 11349 765,49005 764,35515 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-16 0,06805 0,06795 11326 11326 770,7343 769,6017 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-19 0,06765 0,06755 11380 11380 769,857 768,719 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-20 0,06735 0,06725 11574 11574 779,5089 778,3515 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-21 0,06795 0,06785 11697 11697 794,81115 793,64145 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-22 0,06795 0,06785 11703 11703 795,21885 794,04855 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-27 0,06855 0,06845 11653 11653 798,81315 797,64785 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-28 0,06765 0,06755 11787 11787 797,39055 796,21185 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-29 0,0674 0,0673 11795 11795 794,983 793,8035 275495 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - Japan Select Equity Fund JPY 2005-12-30 0,06785 0,06775 11681 11681 792,55585 791,38775 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-03 6,668 6,658 83,15 83,15 554,4442 553,6127 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-04 6,728 6,718 82,35 82,35 554,0508 553,2273 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-05 6,828 6,818 81,46 81,46 556,20888 555,39428 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-07 6,87 6,86 81,63 81,63 560,7981 559,9818 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-10 6,96091 6,95091 81,54 81,54 567,5926014 566,7772014 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-11 6,96091 6,95091 81,32 81,32 566,0612012 565,2480012 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-12 6,913 6,903 81,13 81,13 560,85169 560,04039 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-13 6,843 6,833 81,45 81,45 557,36235 556,54785 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-14 6,915 6,905 81,12 81,12 560,9448 560,1336 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-18 6,968 6,958 81,17 81,17 565,59256 564,78086 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-19 6,91 6,9 82,03 82,03 566,8273 566,007 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-20 6,96 6,95 80,82 80,82 562,5072 561,699 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-21 6,978 6,968 80,75 80,75 563,4735 562,666 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-24 6,933 6,923 80,07 80,07 555,12531 554,32461 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-25 6,95 6,94 80,39 80,39 558,7105 557,9066 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-26 6,995 6,985 80,5 80,5 563,0975 562,2925 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-27 6,93 6,92 80,38 80,38 557,0334 556,2296 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-28 6,985 6,975 80,42 80,42 561,7337 560,9295 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-01-31 6,998 6,988 80,84 80,84 565,71832 564,90992 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-01 6,993 6,983 81 81 566,433 565,623 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-02 6,953 6,943 81,44 81,44 566,25232 565,43792 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-03 6,968 6,958 81,53 81,53 568,10104 567,28574 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-04 7,01 7 81,66 81,66 572,4366 571,62 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-07 7,065 7,055 82,33 82,33 581,66145 580,83815 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-08 7,123 7,113 82,35 82,35 586,57905 585,75555 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-09 7,1 7,09 82,26 82,26 584,046 583,2234 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-10 7,088 7,078 81,68 81,68 578,94784 578,13104 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-11 7,068 7,058 81,65 81,65 577,1022 576,2857 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-14 7,03 7,02 82,47 82,47 579,7641 578,9394 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-15 7,005 6,995 82,54 82,54 578,1927 577,3673 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-16 6,973 6,963 82,52 82,52 575,41196 574,58676 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-17 6,97 6,96 82,75 82,75 576,7675 575,94 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-18 6,965 6,955 82,17 82,17 572,31405 571,49235 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-22 6,905 6,895 81,81 81,81 564,89805 564,07995 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-23 6,895 6,885 81,24 81,24 560,1498 559,3374 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-24 6,858 6,848 81,34 81,34 557,82972 557,01632 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-25 6,885 6,875 82,14 82,14 565,5339 564,7125 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-02-28 6,828 6,818 82,74 82,74 564,94872 564,12132 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-01 6,87 6,86 82,65 82,65 567,8055 566,979 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-02 6,888 6,878 82,47 82,47 568,05336 567,22866 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-03 6,903 6,893 83,1 83,1 573,6393 572,8083 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-04 6,9 6,89 83,38 83,38 575,322 574,4882 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-07 6,84 6,83 83,89 83,89 573,8076 572,9687 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-08 6,825 6,815 83,69 83,69 571,18425 570,34735 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-09 6,76 6,75 83,11 83,11 561,8236 560,9925 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-10 6,745 6,735 82,79 82,79 558,41855 557,59065 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-11 6,765 6,755 82,91 82,91 560,88615 560,05705 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-14 6,76 6,75 82,21 82,21 555,7396 554,9175 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-15 6,815 6,805 82,86 82,86 564,6909 563,8623 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-16 6,81 6,8 81,65 81,65 556,0365 555,22 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-17 6,795 6,785 81,39 81,39 553,04505 552,23115 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-18 6,828 6,818 81,4 81,4 555,7992 554,9852 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-21 6,908 6,898 81,26 81,26 561,34408 560,53148 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-22 6,928 6,918 81,13 81,13 562,06864 561,25734 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-23 6,973 6,963 79,86 79,86 556,86378 556,06518 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-24 7,008 6,998 80,53 80,53 564,35424 563,54894 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-29 7,055 7,045 80,2 80,2 565,811 565,009 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-30 7,053 7,043 79,47 79,47 560,50191 559,70721 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-03-31 7,065 7,055 80,66 80,66 569,8629 569,0563 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-01 7,07 7,06 80,64 80,64 570,1248 569,3184 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-04 7,113 7,103 80,02 80,02 569,18226 568,38206 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-05 7,163 7,153 80,8 80,8 578,7704 577,9624 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-06 7,125 7,115 80,89 80,89 576,34125 575,53235 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-07 7,083 7,073 80,9 80,9 573,0147 572,2057 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-08 7,153 7,143 81,37 81,37 582,03961 581,22591 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-11 7,098 7,088 80,77 80,77 573,30546 572,49776 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-12 7,048 7,038 80,3 80,3 565,9544 565,1514 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-13 7,075 7,065 80,96 80,96 572,792 571,9824 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-14 7,12 7,11 80,23 80,23 571,2376 570,4353 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-15 7,17 7,16 79,23 79,23 568,0791 567,2868 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-18 7,08 7,07 78,16 78,16 553,3728 552,5912 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-19 7,068 7,058 78,88 78,88 557,52384 556,73504 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-20 7,043 7,033 78,39 78,39 552,10077 551,31687 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-21 7,025 7,015 78,42 78,42 550,9005 550,1163 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-22 7,023 7,013 78,93 78,93 554,32539 553,53609 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-25 7,04 7,03 79,08 79,08 556,7232 555,9324 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-26 7,035 7,025 79,16 79,16 556,8906 556,099 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-27 7,085 7,075 78,2 78,2 554,047 553,265 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-28 7,085 7,075 78,51 78,51 556,24335 555,45825 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-04-29 7,08 7,07 78,5 78,5 555,78 554,995 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-02 7,15 7,14 79,32 79,32 567,138 566,3448 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-03 7,178 7,168 79,23 79,23 568,71294 567,92064 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-04 7,11 7,1 79,35 79,35 564,1785 563,385 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-06 7,085 7,075 80,27 80,27 568,71295 567,91025 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-09 7,168 7,158 80,07 80,07 573,94176 573,14106 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-10 7,178 7,168 79,89 79,89 573,45042 572,65152 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-11 7,15 7,14 79,6 79,6 569,14 568,344 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-12 7,243 7,233 79,89 79,89 578,64327 577,84437 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-13 7,265 7,255 79,02 79,02 574,0803 573,2901 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-16 7,32 7,31 79,04 79,04 578,5728 577,7824 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-17 7,313 7,303 79,59 79,59 582,04167 581,24577 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-18 7,3 7,29 80,6 80,6 588,38 587,574 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-19 7,26 7,25 81,18 81,18 589,3668 588,555 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-20 7,28 7,27 81,19 81,19 591,0632 590,2513 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-23 7,32 7,31 81,51 81,51 596,6532 595,8381 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-24 7,295 7,285 81,54 81,54 594,8343 594,0189 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-25 7,298 7,288 81,35 81,35 593,6923 592,8788 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-26 7,33 7,32 81,52 81,52 597,5416 596,7264 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-27 7,338 7,328 81,75 81,75 599,8815 599,064 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-05-31 7,403 7,393 81,55 81,55 603,71465 602,89915 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-01 7,428 7,418 81,54 81,54 605,67912 604,86372 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-02 7,473 7,463 82,05 82,05 613,15965 612,33915 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-03 7,438 7,428 82,27 82,27 611,92426 611,10156 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-07 7,448 7,438 82,28 82,28 612,82144 611,99864 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-08 7,435 7,425 82,06 82,06 610,1161 609,2955 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-09 7,523 7,513 81,58 81,58 613,72634 612,91054 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-10 7,525 7,515 81,88 81,88 616,147 615,3282 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-13 7,643 7,633 81,88 81,88 625,80884 624,99004 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-14 7,663 7,653 82,36 82,36 631,12468 630,30108 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-15 7,693 7,683 82,48 82,48 634,51864 633,69384 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-16 7,678 7,668 82,64 82,64 634,50992 633,68352 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-17 7,643 7,633 83,25 83,25 636,27975 635,44725 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-20 7,543 7,533 82,98 82,98 625,91814 625,08834 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-21 7,648 7,638 82,9 82,9 634,0192 633,1902 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-22 7,608 7,598 83,14 83,14 632,52912 631,69772 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-23 7,73 7,72 82,95 82,95 641,2035 640,374 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-27 7,73 7,72 81,55 81,55 630,3815 629,566 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-28 7,76 7,75 81,95 81,95 635,932 635,1125 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-29 7,833 7,823 82,12 82,12 643,24596 642,42476 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-06-30 7,823 7,813 82,37 82,37 644,38051 643,55681 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-01 7,858 7,848 81,8 81,8 642,7844 641,9664 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-05 7,963 7,953 81,75 81,75 650,97525 650,15775 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-06 7,895 7,885 82,55 82,55 651,73225 650,90675 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-07 7,878 7,868 81,24 81,24 640,00872 639,19632 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-08 7,913 7,903 82,31 82,31 651,31903 650,49593 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-11 7,89 7,88 83,35 83,35 657,6315 656,798 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-12 7,77 7,76 83,7 83,7 650,349 649,512 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-13 7,703 7,693 83,84 83,84 645,81952 644,98112 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-14 7,76 7,75 84,27 84,27 653,9352 653,0925 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-15 7,76 7,75 83,88 83,88 650,9088 650,07 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-18 7,78 7,77 83,81 83,81 652,0418 651,2037 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-19 7,878 7,868 83,95 83,95 661,3581 660,5186 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-20 7,818 7,808 84,1 84,1 657,4938 656,6528 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-21 7,775 7,765 84,46 84,46 656,6765 655,8319 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-22 7,758 7,748 84,28 84,28 653,84424 653,00144 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-25 7,838 7,828 84,45 84,45 661,9191 661,0746 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-26 7,818 7,808 84,16 84,16 657,96288 657,12128 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-27 7,905 7,895 84,31 84,31 666,47055 665,62745 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-28 7,848 7,838 84,73 84,73 664,96104 664,11374 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-07-29 7,748 7,738 84,98 84,98 658,42504 657,57524 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-01 7,72 7,71 84,57 84,57 652,8804 652,0347 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-02 7,7 7,69 84,54 84,54 650,958 650,1126 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-03 7,685 7,675 84,72 84,72 651,0732 650,226 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-04 7,618 7,608 84,5 84,5 643,721 642,876 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-05 7,548 7,538 83,9 83,9 633,2772 632,4382 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-08 7,558 7,548 83,9 83,9 634,1162 633,2772 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-09 7,548 7,538 83,79 83,79 632,44692 631,60902 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-10 7,558 7,548 84,28 84,28 636,98824 636,14544 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-11 7,523 7,513 84,08 84,08 632,53384 631,69304 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-12 7,46 7,45 84,03 84,03 626,8638 626,0235 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-15 7,508 7,498 83,83 83,83 629,39564 628,55734 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-16 7,523 7,513 83,86 83,86 630,87878 630,04018 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-17 7,605 7,595 83,12 83,12 632,1276 631,2964 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-18 7,61 7,6 82,97 82,97 631,4017 630,572 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-19 7,698 7,688 83,37 83,37 641,78226 640,94856 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-22 7,69 7,68 83,68 83,68 643,4992 642,6624 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-23 7,663 7,653 83,11 83,11 636,87193 636,04083 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-24 7,673 7,663 83 83 636,859 636,029 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-25 7,588 7,578 82,51 82,51 626,08588 625,26078 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-26 7,578 7,568 82,42 82,42 624,57876 623,75456 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-29 7,573 7,563 82,1 82,1 621,7433 620,9223 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-30 7,633 7,623 82,39 82,39 628,88287 628,05897 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-08-31 7,668 7,658 82,51 82,51 632,68668 631,86158 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-01 7,568 7,558 83,27 83,27 630,18736 629,35466 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-02 7,435 7,425 83,25 83,25 618,96375 618,13125 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-06 7,485 7,475 83,43 83,43 624,47355 623,63925 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-07 7,43 7,42 83,89 83,89 623,3027 622,4638 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-08 7,498 7,488 83,87 83,87 628,85726 628,01856 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-09 7,523 7,513 84,13 84,13 632,90999 632,06869 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-12 7,555 7,545 84,66 84,66 639,6063 638,7597 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-13 7,57 7,56 84,29 84,29 638,0753 637,2324 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-14 7,61 7,6 83,94 83,94 638,7834 637,944 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-15 7,658 7,648 83,83 83,83 641,97014 641,13184 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-16 7,613 7,603 83,91 83,91 638,80683 637,96773 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-19 7,698 7,688 84,16 84,16 647,86368 647,02208 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-20 7,688 7,678 84,03 84,03 646,02264 645,18234 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-21 7,663 7,653 82,88 82,88 635,10944 634,28064 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-22 7,648 7,638 82,42 82,42 630,34816 629,52396 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-23 7,733 7,723 82,44 82,44 637,50852 636,68412 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-26 7,798 7,788 83,04 83,04 647,54592 646,71552 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-27 7,825 7,815 82,78 82,78 647,7535 646,9257 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-28 7,81 7,8 83,01 83,01 648,3081 647,478 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-29 7,785 7,775 82,56 82,56 642,7296 641,904 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-09-30 7,785 7,775 83,53 83,53 650,28105 649,44575 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-03 7,783 7,773 83,85 83,85 652,60455 651,76605 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-04 7,82 7,81 83,23 83,23 650,8586 650,0263 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-05 7,795 7,785 82,33 82,33 641,76235 640,93905 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-06 7,713 7,703 81,43 81,43 628,06959 627,25529 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-07 7,683 7,673 81,26 81,26 624,32058 623,50798 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-10 7,698 7,688 80,83 80,83 622,22934 621,42104 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-11 7,77 7,76 80,83 80,83 628,0491 627,2408 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-12 7,805 7,795 80,53 80,53 628,53665 627,73135 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-13 7,83 7,82 79,41 79,41 621,7803 620,9862 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-14 7,833 7,823 79,68 79,68 624,13344 623,33664 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-17 7,835 7,825 80,24 80,24 628,6804 627,878 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-18 7,893 7,883 80,17 80,17 632,78181 631,98011 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-19 7,96 7,95 79,35 79,35 631,626 630,8325 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-20 7,93 7,92 80,81 80,81 640,8233 640,0152 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-21 7,883 7,873 79,98 79,98 630,48234 629,68254 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-24 7,995 7,985 80,36 80,36 642,4782 641,6746 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-25 7,99 7,98 81,07 81,07 647,7493 646,9386 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-26 7,868 7,858 81,03 81,03 637,54404 636,73374 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-27 7,868 7,858 80,49 80,49 633,29532 632,49042 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-28 7,825 7,815 80,06 80,06 626,4695 625,6689 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-10-31 7,905 7,895 81,58 81,58 644,8899 644,0741 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-01 7,963 7,953 81,26 81,26 647,07338 646,26078 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-02 7,98 7,97 81,49 81,49 650,2902 649,4753 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-03 8,01 8 82,66 82,66 662,1066 661,28 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-04 8,028 8,018 82,64 82,64 663,43392 662,60752 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-07 8,135 8,125 82,54 82,54 671,4629 670,6375 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-08 8,17 8,16 82,36 82,36 672,8812 672,0576 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-09 8,12 8,11 82,41 82,41 669,1692 668,3451 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-10 8,173 8,163 82,62 82,62 675,25326 674,42706 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-11 8,235 8,225 83,44 83,44 687,1284 686,294 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-14 8,133 8,123 83,63 83,63 680,16279 679,32649 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-15 8,185 8,175 83,26 83,26 681,4831 680,6505 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-16 8,21 8,2 83,24 83,24 683,4004 682,568 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-17 8,258 8,248 83,52 83,52 689,70816 688,87296 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-18 8,223 8,213 84,52 84,52 695,00796 694,16276 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-21 8,123 8,113 84,47 84,47 686,14981 685,30511 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-22 8,15 8,14 84,8 84,8 691,12 690,272 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-23 8,048 8,038 85,51 85,51 688,18448 687,32938 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-25 8,078 8,068 85,88 85,88 693,73864 692,87984 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-28 8,118 8,108 85,52 85,52 694,25136 693,39616 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-29 8,015 8,005 85,62 85,62 686,2443 685,3881 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-11-30 8,088 8,078 85,32 85,32 690,06816 689,21496 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-01 8,083 8,073 85,36 85,36 689,96488 689,11128 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-02 8,103 8,093 85,55 85,55 693,21165 692,35615 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-05 8,045 8,035 85,6 85,6 688,652 687,796 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-06 7,993 7,983 85,78 85,78 685,63954 684,78174 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-07 8,015 8,005 85,6 85,6 686,084 685,228 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-08 7,988 7,978 85,06 85,06 679,45928 678,60868 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-12 7,953 7,943 85,63 85,63 681,01539 680,15909 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-13 7,905 7,895 85,57 85,57 676,43085 675,57515 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-14 7,848 7,838 86,35 86,35 677,6748 676,8113 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-15 7,858 7,848 86,4 86,4 678,9312 678,0672 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-16 7,903 7,893 86,41 86,41 682,89823 682,03413 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-19 7,865 7,855 85,89 85,89 675,52485 674,66595 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-20 7,848 7,838 85,4 85,4 670,2192 669,3652 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-21 7,948 7,938 85,68 85,68 680,98464 680,12784 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-22 7,98 7,97 85,71 85,71 683,9658 683,1087 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-23 7,955 7,945 86,03 86,03 684,36865 683,50835 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-27 8,01 8 86,19 86,19 690,3819 689,52 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-28 7,915 7,905 85,32 85,32 675,3078 674,4546 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-29 7,938 7,928 85,35 85,35 677,5083 676,6548 853028 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Disciplined Equity Fund USD 2005-12-30 7,958 7,948 84,76 84,76 674,52008 673,67248 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-03 6,668 6,658 136,89 136,89 912,78252 911,41362 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-04 6,728 6,718 135,75 135,75 913,326 911,9685 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-05 6,828 6,818 134,29 134,29 916,93212 915,58922 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-07 6,87 6,86 134,61 134,61 924,7707 923,4246 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-10 6,96091 6,95091 134,32 134,32 934,9894312 933,6462312 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-11 6,96091 6,95091 133,9 133,9 932,065849 930,726849 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-12 6,913 6,903 133,48 133,48 922,74724 921,41244 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-13 6,843 6,833 133,94 133,94 916,55142 915,21202 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-14 6,915 6,905 133,26 133,26 921,4929 920,1603 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-18 6,968 6,958 133,26 133,26 928,55568 927,22308 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-19 6,91 6,9 134,57 134,57 929,8787 928,533 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-20 6,96 6,95 132,59 132,59 922,8264 921,5005 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-21 6,978 6,968 132,5 132,5 924,585 923,26 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-24 6,933 6,923 131,26 131,26 910,02558 908,71298 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-25 6,95 6,94 131,79 131,79 915,9405 914,6226 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-26 6,995 6,985 132,07 132,07 923,82965 922,50895 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-27 6,93 6,92 131,77 131,77 913,1661 911,8484 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-28 6,985 6,975 131,89 131,89 921,25165 919,93275 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-01-31 6,998 6,988 132,49 132,49 927,16502 925,84012 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-01 6,993 6,983 132,79 132,79 928,60047 927,27257 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-02 6,953 6,943 133,51 133,51 928,29503 926,95993 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-03 6,968 6,958 133,61 133,61 930,99448 929,65838 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-04 7,01 7 133,76 133,76 937,6576 936,32 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-07 7,065 7,055 134,81 134,81 952,43265 951,08455 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-08 7,123 7,113 134,79 134,79 960,10917 958,76127 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-09 7,1 7,09 134,6 134,6 955,66 954,314 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-10 7,088 7,078 133,61 133,61 947,02768 945,69158 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-11 7,068 7,058 133,46 133,46 943,29528 941,96068 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-14 7,03 7,02 134,78 134,78 947,5034 946,1556 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-15 7,005 6,995 134,89 134,89 944,90445 943,55555 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-16 6,973 6,963 134,96 134,96 941,07608 939,72648 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-17 6,97 6,96 135,38 135,38 943,5986 942,2448 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-18 6,965 6,955 134,45 134,45 936,44425 935,09975 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-22 6,905 6,895 133,84 133,84 924,1652 922,8268 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-23 6,895 6,885 133,05 133,05 917,37975 916,04925 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-24 6,858 6,848 133,13 133,13 913,00554 911,67424 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-25 6,885 6,875 134,49 134,49 925,96365 924,61875 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-02-28 6,828 6,818 135,24 135,24 923,41872 922,06632 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-01 6,87 6,86 135,06 135,06 927,8622 926,5116 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-02 6,888 6,878 134,86 134,86 928,91568 927,56708 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-03 6,903 6,893 135,91 135,91 938,18673 936,82763 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-04 6,9 6,89 136,37 136,37 940,953 939,5893 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-07 6,84 6,83 137,19 137,19 938,3796 937,0077 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-08 6,825 6,815 136,91 136,91 934,41075 933,04165 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-09 6,76 6,75 136,14 136,14 920,3064 918,945 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-10 6,745 6,735 135,61 135,61 914,68945 913,33335 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-11 6,765 6,755 135,79 135,79 918,61935 917,26145 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-14 6,76 6,75 134,63 134,63 910,0988 908,7525 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-15 6,815 6,805 135,73 135,73 924,99995 923,64265 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-16 6,81 6,8 133,79 133,79 911,1099 909,772 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-17 6,795 6,785 133,32 133,32 905,9094 904,5762 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-18 6,828 6,818 133,4 133,4 910,8552 909,5212 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-21 6,908 6,898 133,22 133,22 920,28376 918,95156 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-22 6,928 6,918 132,92 132,92 920,86976 919,54056 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-23 6,973 6,963 130,98 130,98 913,32354 912,01374 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-24 7,008 6,998 131,89 131,89 924,28512 922,96622 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-29 7,055 7,045 131,32 131,32 926,4626 925,1494 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-30 7,053 7,043 130,1 130,1 917,5953 916,2943 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-03-31 7,065 7,055 132,06 132,06 933,0039 931,6833 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-01 7,07 7,06 131,91 131,91 932,6037 931,2846 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-04 7,113 7,103 130,82 130,82 930,52266 929,21446 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-05 7,163 7,153 132,07 132,07 946,01741 944,69671 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-06 7,125 7,115 132,29 132,29 942,56625 941,24335 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-07 7,083 7,073 132,24 132,24 936,65592 935,33352 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-08 7,153 7,143 133,08 133,08 951,92124 950,59044 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-11 7,098 7,088 132,11 132,11 937,71678 936,39568 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-12 7,048 7,038 131,33 131,33 925,61384 924,30054 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-13 7,075 7,065 132,39 132,39 936,65925 935,33535 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-14 7,12 7,11 131,25 131,25 934,5 933,1875 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-15 7,17 7,16 129,62 129,62 929,3754 928,0792 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-18 7,08 7,07 127,9 127,9 905,532 904,253 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-19 7,068 7,058 129,09 129,09 912,40812 911,11722 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-20 7,043 7,033 128,31 128,31 903,68733 902,40423 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-21 7,025 7,015 128,29 128,29 901,23725 899,95435 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-22 7,023 7,013 129,09 129,09 906,59907 905,30817 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-25 7,04 7,03 129,39 129,39 910,9056 909,6117 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-26 7,035 7,025 129,39 129,39 910,25865 908,96475 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-27 7,085 7,075 127,77 127,77 905,25045 903,97275 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-28 7,085 7,075 128,15 128,15 907,94275 906,66125 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-04-29 7,08 7,07 128,19 128,19 907,5852 906,3033 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-02 7,15 7,14 129,47 129,47 925,7105 924,4158 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-03 7,178 7,168 129,31 129,31 928,18718 926,89408 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-04 7,11 7,1 129,4 129,4 920,034 918,74 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-06 7,085 7,075 130,9 130,9 927,4265 926,1175 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-09 7,168 7,158 130,49 130,49 935,35232 934,04742 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-10 7,178 7,168 130,24 130,24 934,86272 933,56032 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-11 7,15 7,14 129,78 129,78 927,927 926,6292 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-12 7,243 7,233 130,34 130,34 944,05262 942,74922 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-13 7,265 7,255 128,92 128,92 936,6038 935,3146 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-16 7,32 7,31 128,94 128,94 943,8408 942,5514 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-17 7,313 7,303 129,84 129,84 949,51992 948,22152 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-18 7,3 7,29 131,46 131,46 959,658 958,3434 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-19 7,26 7,25 132,5 132,5 961,95 960,625 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-20 7,28 7,27 132,51 132,51 964,6728 963,3477 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-23 7,32 7,31 132,95 132,95 973,194 971,8645 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-24 7,295 7,285 133 133 970,235 968,905 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-25 7,298 7,288 132,8 132,8 969,1744 967,8464 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-26 7,33 7,32 133,02 133,02 975,0366 973,7064 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-27 7,338 7,328 133,44 133,44 979,18272 977,84832 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-05-31 7,403 7,393 133,04 133,04 984,89512 983,56472 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-01 7,428 7,418 133,01 133,01 987,99828 986,66818 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-02 7,473 7,463 133,77 133,77 999,66321 998,32551 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-03 7,438 7,428 134,07 134,07 997,21266 995,87196 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-07 7,448 7,438 134,09 134,09 998,70232 997,36142 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-08 7,435 7,425 133,79 133,79 994,72865 993,39075 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-09 7,523 7,513 132,92 132,92 999,95716 998,62796 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-10 7,525 7,515 133,33 133,33 1003,30825 1001,97495 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-13 7,643 7,633 133,33 133,33 1019,04119 1017,70789 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-14 7,663 7,653 134,04 134,04 1027,14852 1025,80812 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-15 7,693 7,683 134,24 134,24 1032,70832 1031,36592 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-16 7,678 7,668 134,51 134,51 1032,76778 1031,42268 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-17 7,643 7,633 135,46 135,46 1035,32078 1033,96618 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-20 7,543 7,533 135,06 135,06 1018,75758 1017,40698 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-21 7,648 7,638 134,91 134,91 1031,79168 1030,44258 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-22 7,608 7,598 135,3 135,3 1029,3624 1028,0094 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-23 7,73 7,72 134,95 134,95 1043,1635 1041,814 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-27 7,73 7,72 132,68 132,68 1025,6164 1024,2896 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-28 7,76 7,75 133,3 133,3 1034,408 1033,075 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-29 7,833 7,823 133,69 133,69 1047,19377 1045,85687 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-06-30 7,823 7,813 134,08 134,08 1048,90784 1047,56704 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-01 7,858 7,848 133,24 133,24 1046,99992 1045,66752 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-05 7,963 7,953 133,02 133,02 1059,23826 1057,90806 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-06 7,895 7,885 134,4 134,4 1061,088 1059,744 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-07 7,878 7,868 132,34 132,34 1042,57452 1041,25112 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-08 7,913 7,903 133,94 133,94 1059,86722 1058,52782 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-11 7,89 7,88 135,46 135,46 1068,7794 1067,4248 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-12 7,77 7,76 136,07 136,07 1057,2639 1055,9032 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-13 7,703 7,693 136,23 136,23 1049,37969 1048,01739 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-14 7,76 7,75 136,97 136,97 1062,8872 1061,5175 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-15 7,76 7,75 136,42 136,42 1058,6192 1057,255 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-18 7,78 7,77 136,32 136,32 1060,5696 1059,2064 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-19 7,878 7,868 136,58 136,58 1075,97724 1074,61144 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-20 7,818 7,808 136,93 136,93 1070,51874 1069,14944 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-21 7,775 7,765 137,56 137,56 1069,529 1068,1534 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-22 7,758 7,748 137,17 137,17 1064,16486 1062,79316 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-25 7,838 7,828 137,33 137,33 1076,39254 1075,01924 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-26 7,818 7,808 136,76 136,76 1069,18968 1067,82208 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-27 7,905 7,895 136,95 136,95 1082,58975 1081,22025 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-28 7,848 7,838 137,66 137,66 1080,35568 1078,97908 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-07-29 7,748 7,738 138,02 138,02 1069,37896 1067,99876 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-01 7,72 7,71 137,29 137,29 1059,8788 1058,5059 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-02 7,7 7,69 137,22 137,22 1056,594 1055,2218 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-03 7,685 7,675 137,46 137,46 1056,3801 1055,0055 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-04 7,618 7,608 137,15 137,15 1044,8087 1043,4372 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-05 7,548 7,538 136,17 136,17 1027,81116 1026,44946 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-08 7,558 7,548 136,3 136,3 1030,1554 1028,7924 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-09 7,548 7,538 136,18 136,18 1027,88664 1026,52484 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-10 7,558 7,548 136,94 136,94 1034,99252 1033,62312 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-11 7,523 7,513 136,57 136,57 1027,41611 1026,05041 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-12 7,46 7,45 136,51 136,51 1018,3646 1016,9995 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-15 7,508 7,498 136,16 136,16 1022,28928 1020,92768 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-16 7,523 7,513 136,25 136,25 1025,00875 1023,64625 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-17 7,605 7,595 135,12 135,12 1027,5876 1026,2364 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-18 7,61 7,6 134,86 134,86 1026,2846 1024,936 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-19 7,698 7,688 135,56 135,56 1043,54088 1042,18528 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-22 7,69 7,68 136,21 136,21 1047,4549 1046,0928 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-23 7,663 7,653 135,24 135,24 1036,34412 1034,99172 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-24 7,673 7,663 135,06 135,06 1036,31538 1034,96478 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-25 7,588 7,578 134,29 134,29 1018,99252 1017,64962 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-26 7,578 7,568 134,15 134,15 1016,5887 1015,2472 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-29 7,573 7,563 133,62 133,62 1011,90426 1010,56806 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-30 7,633 7,623 133,99 133,99 1022,74567 1021,40577 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-08-31 7,668 7,658 134,06 134,06 1027,97208 1026,63148 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-01 7,568 7,558 135,24 135,24 1023,49632 1022,14392 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-02 7,435 7,425 135,12 135,12 1004,6172 1003,266 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-06 7,485 7,475 135,49 135,49 1014,14265 1012,78775 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-07 7,43 7,42 136,1 136,1 1011,223 1009,862 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-08 7,498 7,488 135,96 135,96 1019,42808 1018,06848 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-09 7,523 7,513 136,41 136,41 1026,21243 1024,84833 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-12 7,555 7,545 137,45 137,45 1038,43475 1037,06025 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-13 7,57 7,56 136,95 136,95 1036,7115 1035,342 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-14 7,61 7,6 136,38 136,38 1037,8518 1036,488 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-15 7,658 7,648 136,15 136,15 1042,6367 1041,2752 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-16 7,613 7,603 136,33 136,33 1037,88029 1036,51699 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-19 7,698 7,688 136,95 136,95 1054,2411 1052,8716 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-20 7,688 7,678 136,87 136,87 1052,25656 1050,88786 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-21 7,663 7,653 135,05 135,05 1034,88815 1033,53765 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-22 7,648 7,638 134,35 134,35 1027,5088 1026,1653 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-23 7,733 7,723 134,37 134,37 1039,08321 1037,73951 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-26 7,798 7,788 135,34 135,34 1055,38132 1054,02792 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-27 7,825 7,815 134,95 134,95 1055,98375 1054,63425 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-28 7,81 7,8 135,23 135,23 1056,1463 1054,794 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-29 7,785 7,775 134,46 134,46 1046,7711 1045,4265 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-09-30 7,785 7,775 135,93 135,93 1058,21505 1056,85575 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-03 7,783 7,773 136,38 136,38 1061,44554 1060,08174 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-04 7,82 7,81 135,39 135,39 1058,7498 1057,3959 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-05 7,795 7,785 134 134 1044,53 1043,19 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-06 7,713 7,703 132,58 132,58 1022,58954 1021,26374 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-07 7,683 7,673 132,4 132,4 1017,2292 1015,9052 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-10 7,698 7,688 131,82 131,82 1014,75036 1013,43216 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-11 7,77 7,76 131,79 131,79 1024,0083 1022,6904 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-12 7,805 7,795 131,41 131,41 1025,65505 1024,34095 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-13 7,83 7,82 129,76 129,76 1016,0208 1014,7232 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-14 7,833 7,823 130,23 130,23 1020,09159 1018,78929 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-17 7,835 7,825 131,05 131,05 1026,77675 1025,46625 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-18 7,893 7,883 130,83 130,83 1032,64119 1031,33289 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-19 7,96 7,95 129,5 129,5 1030,82 1029,525 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-20 7,93 7,92 131,94 131,94 1046,2842 1044,9648 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-21 7,883 7,873 130,57 130,57 1029,28331 1027,97761 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-24 7,995 7,985 130,99 130,99 1047,26505 1045,95515 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-25 7,99 7,98 132,03 132,03 1054,9197 1053,5994 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-26 7,868 7,858 132,06 132,06 1039,04808 1037,72748 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-27 7,868 7,858 131,18 131,18 1032,12424 1030,81244 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-28 7,825 7,815 130,53 130,53 1021,39725 1020,09195 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-10-31 7,905 7,895 132,77 132,77 1049,54685 1048,21915 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-01 7,963 7,953 132,2 132,2 1052,7086 1051,3866 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-02 7,98 7,97 132,46 132,46 1057,0308 1055,7062 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-03 8,01 8 134,21 134,21 1075,0221 1073,68 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-04 8,028 8,018 134,12 134,12 1076,71536 1075,37416 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-07 8,135 8,125 133,95 133,95 1089,68325 1088,34375 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-08 8,17 8,16 133,82 133,82 1093,3094 1091,9712 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-09 8,12 8,11 133,93 133,93 1087,5116 1086,1723 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-10 8,173 8,163 134,28 134,28 1097,47044 1096,12764 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-11 8,235 8,225 135,64 135,64 1116,9954 1115,639 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-14 8,133 8,123 135,83 135,83 1104,70539 1103,34709 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-15 8,185 8,175 135,3 135,3 1107,4305 1106,0775 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-16 8,21 8,2 135,34 135,34 1111,1414 1109,788 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-17 8,258 8,248 135,79 135,79 1121,35382 1119,99592 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-18 8,223 8,213 137,34 137,34 1129,34682 1127,97342 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-21 8,123 8,113 137,3 137,3 1115,2879 1113,9149 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-22 8,15 8,14 137,86 137,86 1123,559 1122,1804 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-23 8,048 8,038 138,89 138,89 1117,78672 1116,39782 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-25 8,078 8,068 139,44 139,44 1126,39632 1125,00192 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-28 8,118 8,108 138,87 138,87 1127,34666 1125,95796 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-29 8,015 8,005 138,98 138,98 1113,9247 1112,5349 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-11-30 8,088 8,078 138,47 138,47 1119,94536 1118,56066 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-01 8,083 8,073 138,47 138,47 1119,25301 1117,86831 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-02 8,103 8,093 138,79 138,79 1124,61537 1123,22747 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-05 8,045 8,035 138,91 138,91 1117,53095 1116,14185 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-06 7,993 7,983 139,17 139,17 1112,38581 1110,99411 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-07 8,015 8,005 138,99 138,99 1114,00485 1112,61495 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-08 7,988 7,978 138,13 138,13 1103,38244 1102,00114 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-12 7,953 7,943 138,97 138,97 1105,22841 1103,83871 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-13 7,905 7,895 138,89 138,89 1097,92545 1096,53655 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-14 7,848 7,838 139,96 139,96 1098,40608 1097,00648 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-15 7,858 7,848 140,13 140,13 1101,14154 1099,74024 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-16 7,903 7,893 140,28 140,28 1108,63284 1107,23004 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-19 7,865 7,855 139,43 139,43 1096,61695 1095,22265 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-20 7,848 7,838 138,72 138,72 1088,67456 1087,28736 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-21 7,948 7,938 139,17 139,17 1106,12316 1104,73146 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-22 7,98 7,97 139,25 139,25 1111,215 1109,8225 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-23 7,955 7,945 139,69 139,69 1111,23395 1109,83705 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-27 8,01 8 140,02 140,02 1121,5602 1120,16 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-28 7,915 7,905 138,6 138,6 1097,019 1095,633 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-29 7,938 7,928 138,58 138,58 1100,04804 1098,66224 311324 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Select Equity Fund USD 2005-12-30 7,958 7,948 137,57 137,57 1094,78206 1093,40636 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-03 6,668 6,658 84,63 84,63 564,31284 563,46654 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-04 6,728 6,718 83,46 83,46 561,51888 560,68428 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-05 6,828 6,818 81,72 81,72 557,98416 557,16696 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-07 6,87 6,86 80,91 80,91 555,8517 555,0426 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-10 6,96091 6,95091 80,79 80,79 562,3719189 561,5640189 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-11 6,96091 6,95091 80,36 80,36 559,3787276 558,5751276 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-12 6,913 6,903 79,82 79,82 551,79566 550,99746 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-13 6,843 6,833 80,17 80,17 548,60331 547,80161 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-14 6,915 6,905 80,65 80,65 557,69475 556,88825 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-18 6,968 6,958 81,13 81,13 565,31384 564,50254 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-19 6,91 6,9 81,9 81,9 565,929 565,11 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-20 6,96 6,95 80,35 80,35 559,236 558,4325 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-21 6,978 6,968 80,62 80,62 562,56636 561,76016 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-24 6,933 6,923 80,08 80,08 555,19464 554,39384 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-25 6,95 6,94 80,3 80,3 558,085 557,282 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-26 6,995 6,985 80,07 80,07 560,08965 559,28895 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-27 6,93 6,92 80,8 80,8 559,944 559,136 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-28 6,985 6,975 80,6 80,6 562,991 562,185 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-01-31 6,998 6,988 81,28 81,28 568,79744 567,98464 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-01 6,993 6,983 82 82 573,426 572,606 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-02 6,953 6,943 82,72 82,72 575,15216 574,32496 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-03 6,968 6,958 83,18 83,18 579,59824 578,76644 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-04 7,01 7 83,54 83,54 585,6154 584,78 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-07 7,065 7,055 84,33 84,33 595,79145 594,94815 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-08 7,123 7,113 84,16 84,16 599,47168 598,63008 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-09 7,1 7,09 83,97 83,97 596,187 595,3473 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-10 7,088 7,078 82,69 82,69 586,10672 585,27982 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-11 7,068 7,058 82,41 82,41 582,47388 581,64978 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-14 7,03 7,02 83,8 83,8 589,114 588,276 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-15 7,005 6,995 83,9 83,9 587,7195 586,8805 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-16 6,973 6,963 83,77 83,77 584,12821 583,29051 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-17 6,97 6,96 84,75 84,75 590,7075 589,86 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-18 6,965 6,955 83,82 83,82 583,8063 582,9681 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-22 6,905 6,895 82,86 82,86 572,1483 571,3197 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-23 6,895 6,885 81,87 81,87 564,49365 563,67495 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-24 6,858 6,848 81,63 81,63 559,81854 559,00224 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-25 6,885 6,875 83,01 83,01 571,52385 570,69375 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-02-28 6,828 6,818 84,23 84,23 575,12244 574,28014 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-01 6,87 6,86 84,12 84,12 577,9044 577,0632 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-02 6,888 6,878 83,78 83,78 577,07664 576,23884 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-03 6,903 6,893 84,28 84,28 581,78484 580,94204 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-04 6,9 6,89 84,55 84,55 583,395 582,5495 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-07 6,84 6,83 84,94 84,94 580,9896 580,1402 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-08 6,825 6,815 84,7 84,7 578,0775 577,2305 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-09 6,76 6,75 83,45 83,45 564,122 563,2875 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-10 6,745 6,735 83,16 83,16 560,9142 560,0826 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-11 6,765 6,755 83,19 83,19 562,78035 561,94845 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-14 6,76 6,75 82,77 82,77 559,5252 558,6975 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-15 6,815 6,805 83,67 83,67 570,21105 569,37435 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-16 6,81 6,8 82,64 82,64 562,7784 561,952 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-17 6,795 6,785 82,15 82,15 558,20925 557,38775 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-18 6,828 6,818 82,32 82,32 562,08096 561,25776 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-21 6,908 6,898 82,11 82,11 567,21588 566,39478 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-22 6,928 6,918 82,72 82,72 573,08416 572,25696 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-23 6,973 6,963 81,43 81,43 567,81139 566,99709 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-24 7,008 6,998 81,9 81,9 573,9552 573,1362 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-29 7,055 7,045 81,6 81,6 575,688 574,872 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-30 7,053 7,043 80,22 80,22 565,79166 564,98946 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-03-31 7,065 7,055 81,47 81,47 575,58555 574,77085 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-01 7,07 7,06 81,58 81,58 576,7706 575,9548 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-04 7,113 7,103 81,23 81,23 577,78899 576,97669 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-05 7,163 7,153 82,02 82,02 587,50926 586,68906 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-06 7,125 7,115 82,23 82,23 585,88875 585,06645 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-07 7,083 7,073 81,91 81,91 580,16853 579,34943 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-08 7,153 7,143 82,21 82,21 588,04813 587,22603 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-11 7,098 7,088 80,95 80,95 574,5831 573,7736 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-12 7,048 7,038 80,19 80,19 565,17912 564,37722 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-13 7,075 7,065 81,13 81,13 573,99475 573,18345 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-14 7,12 7,11 80,08 80,08 570,1696 569,3688 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-15 7,17 7,16 78,38 78,38 561,9846 561,2008 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-18 7,08 7,07 77,04 77,04 545,4432 544,6728 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-19 7,068 7,058 78,51 78,51 554,90868 554,12358 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-20 7,043 7,033 78,5 78,5 552,8755 552,0905 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-21 7,025 7,015 78,81 78,81 553,64025 552,85215 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-22 7,023 7,013 79,13 79,13 555,72999 554,93869 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-25 7,04 7,03 78,8 78,8 554,752 553,964 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-26 7,035 7,025 78,97 78,97 555,55395 554,76425 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-27 7,085 7,075 77,2 77,2 546,962 546,19 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-28 7,085 7,075 77,01 77,01 545,61585 544,84575 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-04-29 7,08 7,07 76,62 76,62 542,4696 541,7034 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-02 7,15 7,14 77,48 77,48 553,982 553,2072 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-03 7,178 7,168 78,19 78,19 561,24782 560,46592 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-04 7,11 7,1 78,21 78,21 556,0731 555,291 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-06 7,085 7,075 79,85 79,85 565,73725 564,93875 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-09 7,168 7,158 79,68 79,68 571,14624 570,34944 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-10 7,178 7,168 79,89 79,89 573,45042 572,65152 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-11 7,15 7,14 79,49 79,49 568,3535 567,5586 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-12 7,243 7,233 79,22 79,22 573,79046 572,99826 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-13 7,265 7,255 77,71 77,71 564,56315 563,78605 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-16 7,32 7,31 78,07 78,07 571,4724 570,6917 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-17 7,313 7,303 78,86 78,86 576,70318 575,91458 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-18 7,3 7,29 80,09 80,09 584,657 583,8561 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-19 7,26 7,25 81,4 81,4 590,964 590,15 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-20 7,28 7,27 81,05 81,05 590,044 589,2335 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-23 7,32 7,31 81,63 81,63 597,5316 596,7153 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-24 7,295 7,285 81,62 81,62 595,4179 594,6017 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-25 7,298 7,288 81,3 81,3 593,3274 592,5144 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-26 7,33 7,32 81,43 81,43 596,8819 596,0676 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-27 7,338 7,328 84,38 84,38 619,18044 618,33664 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-05-31 7,403 7,393 84,65 84,65 626,66395 625,81745 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-01 7,428 7,418 84,97 84,97 631,15716 630,30746 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-02 7,473 7,463 85,63 85,63 639,91299 639,05669 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-03 7,438 7,428 85,97 85,97 639,44486 638,58516 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-07 7,448 7,438 86,43 86,43 643,73064 642,86634 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-08 7,435 7,425 86,25 86,25 641,26875 640,40625 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-09 7,523 7,513 85,45 85,45 642,84035 641,98585 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-10 7,525 7,515 86,49 86,49 650,83725 649,97235 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-13 7,643 7,633 86,3 86,3 659,5909 658,7279 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-14 7,663 7,653 86,87 86,87 665,68481 664,81611 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-15 7,693 7,683 87,32 87,32 671,75276 670,87956 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-16 7,678 7,668 87,8 87,8 674,1284 673,2504 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-17 7,643 7,633 88,61 88,61 677,24623 676,36013 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-20 7,543 7,533 88,07 88,07 664,31201 663,43131 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-21 7,648 7,638 87,94 87,94 672,56512 671,68572 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-22 7,608 7,598 88,35 88,35 672,1668 671,2833 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-23 7,73 7,72 88,48 88,48 683,9504 683,0656 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-27 7,73 7,72 86,31 86,31 667,1763 666,3132 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-28 7,76 7,75 87,37 87,37 677,9912 677,1175 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-29 7,833 7,823 88,05 88,05 689,69565 688,81515 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-06-30 7,823 7,813 88,23 88,23 690,22329 689,34099 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-01 7,858 7,848 87,68 87,68 688,98944 688,11264 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-05 7,963 7,953 88,05 88,05 701,14215 700,26165 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-06 7,895 7,885 89,62 89,62 707,5499 706,6537 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-07 7,878 7,868 88,08 88,08 693,89424 693,01344 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-08 7,913 7,903 89,49 89,49 708,13437 707,23947 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-11 7,89 7,88 91,48 91,48 721,7772 720,8624 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-12 7,77 7,76 91,89 91,89 713,9853 713,0664 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-13 7,703 7,693 92,07 92,07 709,21521 708,29451 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-14 7,76 7,75 92,12 92,12 714,8512 713,93 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-15 7,76 7,75 90,86 90,86 705,0736 704,165 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-18 7,78 7,77 90,86 90,86 706,8908 705,9822 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-19 7,878 7,868 91,15 91,15 718,0797 717,1682 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-20 7,818 7,808 92,07 92,07 719,80326 718,88256 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-21 7,775 7,765 93,08 93,08 723,697 722,7662 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-22 7,758 7,748 92,83 92,83 720,17514 719,24684 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-25 7,838 7,828 93,09 93,09 729,63942 728,70852 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-26 7,818 7,808 92,26 92,26 721,28868 720,36608 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-27 7,905 7,895 92,13 92,13 728,28765 727,36635 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-28 7,848 7,838 92,49 92,49 725,86152 724,93662 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-07-29 7,748 7,738 93,37 93,37 723,43076 722,49706 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-01 7,72 7,71 93,31 93,31 720,3532 719,4201 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-02 7,7 7,69 93,6 93,6 720,72 719,784 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-03 7,685 7,675 93,83 93,83 721,08355 720,14525 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-04 7,618 7,608 93,09 93,09 709,15962 708,22872 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-05 7,548 7,538 91,96 91,96 694,11408 693,19448 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-08 7,558 7,548 91,55 91,55 691,9349 691,0194 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-09 7,548 7,538 91,1 91,1 687,6228 686,7118 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-10 7,558 7,548 91,43 91,43 691,02794 690,11364 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-11 7,523 7,513 90,98 90,98 684,44254 683,53274 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-12 7,46 7,45 90,8 90,8 677,368 676,46 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-15 7,508 7,498 90,65 90,65 680,6002 679,6937 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-16 7,523 7,513 90,64 90,64 681,88472 680,97832 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-17 7,605 7,595 89,34 89,34 679,4307 678,5373 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-18 7,61 7,6 88,8 88,8 675,768 674,88 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-19 7,698 7,688 89,24 89,24 686,96952 686,07712 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-22 7,69 7,68 89,98 89,98 691,9462 691,0464 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-23 7,663 7,653 89,8 89,8 688,1374 687,2394 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-24 7,673 7,663 89,36 89,36 685,65928 684,76568 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-25 7,588 7,578 89,15 89,15 676,4702 675,5787 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-26 7,578 7,568 88,66 88,66 671,86548 670,97888 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-29 7,573 7,563 87,9 87,9 665,6667 664,7877 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-30 7,633 7,623 88,97 88,97 679,10801 678,21831 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-08-31 7,668 7,658 89,35 89,35 685,1358 684,2423 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-09-01 7,568 7,558 91 91 688,688 687,778 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-09-02 7,435 7,425 90,49 90,49 672,79315 671,88825 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-09-06 7,485 7,475 90,76 90,76 679,3386 678,431 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-09-07 7,43 7,42 91,41 91,41 679,1763 678,2622 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-09-08 7,498 7,488 91,48 91,48 685,91704 685,00224 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-09-09 7,523 7,513 91,61 91,61 689,18203 688,26593 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-09-12 7,555 7,545 92,2 92,2 696,571 695,649 497149 JPMorgan Asset Management (Europe) S.a.r.l. JPM Investment Funds - US Small Cap Core Fund USD 2005-09-13 7,57 7,56 91,94 91,94 695,9858 695,0664 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-03 9,0065 9,0015 11511,11 11511,11 103674,812215 103617,256665 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-04 9,0345 9,0295 11511,59 11511,59 104001,459855 103943,901905 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-05 9,0615 9,0565 11512,07 11512,07 104316,622305 104259,061955 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-07 9,0615 9,0565 11513,98 11513,98 104333,92977 104276,35987 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-10 9,08619 9,08119 11514,46 11514,46 104622,5713074 104564,9990074 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-11 9,08619 9,08119 11514,94 11514,94 104626,9326786 104569,3579786 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-12 9,0455 9,0405 11515,42 11515,42 104162,73161 104105,15451 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-13 9,0505 9,0455 11515,9 11515,9 104224,65295 104167,07345 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-14 9,0455 9,0405 11517,33 11517,33 104180,008515 104122,421865 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-17 9,0685 9,0635 11517,81 11517,81 104449,259985 104391,670935 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-18 9,0585 9,0535 11518,29 11518,29 104338,429965 104280,838515 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-19 9,0225 9,0175 11518,77 11518,77 103928,102325 103870,508475 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-20 9,0315 9,0265 11519,25 11519,25 104036,106375 103978,510125 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-21 9,0505 9,0455 11520,68 11520,68 104267,91434 104210,31094 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-24 9,0655 9,0605 11521,16 11521,16 104445,07598 104387,47018 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-25 9,0715 9,0665 11521,64 11521,64 104518,55726 104460,94906 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-26 9,0885 9,0835 11522,12 11522,12 104718,78762 104661,17702 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-27 9,0675 9,0625 11522,6 11522,6 104481,1755 104423,5625 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-28 9,0955 9,0905 11524,03 11524,03 104816,814865 104759,194715 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-01-31 9,1075 9,1025 11524,5 11524,5 104959,38375 104901,76125 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-01 9,1035 9,0985 11524,98 11524,98 104917,65543 104860,03053 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-02 9,0905 9,0855 11525,45 11525,45 104772,103225 104714,475975 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-03 9,0695 9,0645 11525,93 11525,93 104534,422135 104476,792485 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-04 9,0895 9,0845 11527,36 11527,36 104777,93872 104720,30192 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-07 9,0755 9,0705 11527,84 11527,84 104620,91192 104563,27272 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-08 9,0895 9,0845 11528,31 11528,31 104786,573745 104728,932195 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-09 9,0695 9,0645 11528,79 11528,79 104560,360905 104502,716955 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-10 9,0805 9,0755 11529,27 11529,27 104691,536235 104633,889885 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-11 9,0935 9,0885 11530,7 11530,7 104854,42045 104796,76695 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-14 9,1105 9,1055 11531,18 11531,18 105054,81539 104997,15949 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-15 9,0765 9,0715 11531,66 11531,66 104667,11199 104609,45369 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-16 9,0705 9,0655 11532,14 11532,14 104602,27587 104544,61517 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-17 9,0925 9,0875 11532,62 11532,62 104860,34735 104802,68425 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-18 9,0945 9,0895 11534,04 11534,04 104896,32678 104838,65658 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-21 9,1185 9,1135 11534,52 11534,52 105177,52062 105119,84802 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-22 9,0975 9,0925 11534,99 11534,99 104939,571525 104881,896575 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-23 9,1045 9,0995 11535,47 11535,47 105024,686615 104967,009265 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-24 9,0715 9,0665 11535,95 11535,95 104648,370425 104590,690675 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-25 9,0845 9,0795 11537,38 11537,38 104811,32861 104753,64171 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-02-28 9,0505 9,0455 11537,85 11537,85 104423,311425 104365,622175 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-01 9,0565 9,0515 11538,33 11538,33 104496,885645 104439,193995 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-02 9,0645 9,0595 11538,8 11538,8 104593,4526 104535,7586 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-03 9,0675 9,0625 11539,28 11539,28 104632,4214 104574,725 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-04 9,0415 9,0365 11540,71 11540,71 104345,329465 104287,625915 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-07 9,0425 9,0375 11541,19 11541,19 104361,210575 104303,504625 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-08 9,0345 9,0295 11541,66 11541,66 104273,12727 104215,41897 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-09 9,0365 9,0315 11542,14 11542,14 104300,54811 104242,83741 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-10 9,0655 9,0605 11542,62 11542,62 104639,62161 104581,90851 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-11 9,0795 9,0745 11544,05 11544,05 104814,201975 104756,481725 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-14 9,0695 9,0645 11544,53 11544,53 104703,114835 104645,392185 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-15 9,1035 9,0985 11545 11545 105099,9075 105042,1825 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-16 9,0975 9,0925 11545,48 11545,48 105035,0043 104977,2769 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-17 9,1045 9,0995 11545,95 11545,95 105120,101775 105062,372025 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-18 9,1035 9,0985 11547,37 11547,37 105121,482795 105063,745945 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-21 9,1265 9,1215 11547,85 11547,85 105391,453025 105333,713775 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-22 9,1265 9,1215 11548,32 11548,32 105395,74248 105338,00088 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-23 9,1165 9,1115 11548,79 11548,79 105284,544035 105226,800085 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-24 9,1135 9,1085 11551,17 11551,17 105271,587795 105213,831945 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-29 9,1315 9,1265 11551,65 11551,65 105483,891975 105426,133725 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-30 9,1425 9,1375 11552,12 11552,12 105615,2571 105557,4965 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-03-31 9,1405 9,1355 11552,6 11552,6 105596,5403 105538,7773 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-01 9,1645 9,1595 11554,02 11554,02 105886,81629 105829,04619 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-04 9,1695 9,1645 11554,49 11554,49 105948,896055 105891,123605 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-05 9,1745 9,1695 11554,97 11554,97 106011,072265 105953,297415 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-06 9,1705 9,1655 11555,44 11555,44 105969,16252 105911,38532 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-07 9,1505 9,1455 11555,92 11555,92 105742,44596 105684,66636 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-08 9,1625 9,1575 11557,34 11557,34 105894,12775 105836,34105 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-11 9,1705 9,1655 11557,82 11557,82 105990,98831 105933,19921 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-12 9,1525 9,1475 11558,3 11558,3 105787,34075 105729,54925 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-13 9,1495 9,1445 11558,77 11558,77 105756,966115 105699,172265 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-14 9,1685 9,1635 11559,25 11559,25 105980,983625 105923,187375 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-15 9,1925 9,1875 11560,68 11560,68 106271,5509 106213,7475 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-18 9,1805 9,1755 11561,16 11561,16 106137,22938 106079,42358 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-19 9,2035 9,1985 11561,63 11561,63 106407,461705 106349,653555 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-20 9,1915 9,1865 11562,11 11562,11 106273,134065 106215,323515 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-21 9,1855 9,1805 11562,59 11562,59 106208,170445 106150,357495 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-22 9,1625 9,1575 11564,04 11564,04 105955,5165 105897,6963 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-25 9,1685 9,1635 11564,52 11564,52 106029,30162 105971,47902 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-26 9,1375 9,1325 11565 11565 105675,1875 105617,3625 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-27 9,1465 9,1415 11565,47 11565,47 105783,571355 105725,744005 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-28 9,1505 9,1455 11565,95 11565,95 105834,225475 105776,395725 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-04-29 9,1705 9,1655 11567,39 11567,39 106078,749995 106020,913045 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-02 9,1935 9,1885 11567,87 11567,87 106349,212845 106291,373495 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-03 9,2245 9,2195 11568,34 11568,34 106712,15233 106654,31063 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-04 9,1915 9,1865 11568,81 11568,81 106334,717115 106276,873065 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-06 9,1715 9,1665 11570,73 11570,73 106120,950195 106063,096545 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-09 9,1815 9,1765 11571,2 11571,2 106240,9728 106183,1168 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-10 9,1985 9,1935 11571,67 11571,67 106442,006495 106384,148145 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-11 9,2105 9,2055 11572,15 11572,15 106585,287575 106527,426825 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-12 9,2315 9,2265 11572,63 11572,63 106832,733845 106774,870695 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-13 9,2045 9,1995 11574,06 11574,06 106533,43527 106475,56497 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-16 9,2145 9,2095 11574,53 11574,53 106653,506685 106595,634035 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-17 9,2325 9,2275 11575,01 11575,01 106866,279825 106808,404775 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-18 9,2095 9,2045 11575,49 11575,49 106604,475155 106546,597705 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-19 9,1905 9,1855 11575,96 11575,96 106388,86038 106330,98058 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-20 9,1955 9,1905 11577,39 11577,39 106459,889745 106402,002795 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-23 9,1805 9,1755 11577,86 11577,86 106290,54373 106232,65443 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-24 9,1815 9,1765 11578,34 11578,34 106306,52871 106248,63701 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-25 9,1785 9,1735 11578,81 11578,81 106276,107585 106218,213535 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-26 9,1945 9,1895 11579,29 11579,29 106465,781905 106407,885455 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-27 9,1955 9,1905 11580,71 11580,71 106490,418805 106432,515255 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-30 9,1905 9,1855 11581,19 11581,19 106436,926695 106379,020745 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-05-31 9,1665 9,1615 11581,66 11581,66 106163,28639 106105,37809 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-01 9,1455 9,1405 11582,14 11582,14 105924,46137 105866,55067 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-02 9,1565 9,1515 11582,62 11582,62 106056,26003 105998,34693 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-03 9,1315 9,1265 11584,04 11584,04 105779,66126 105721,74106 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-07 9,1455 9,1405 11584,99 11584,99 105950,526045 105892,601095 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-08 9,1455 9,1405 11585,46 11585,46 105954,82443 105896,89713 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-09 9,1965 9,1915 11585,93 11585,93 106550,005245 106492,075595 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-10 9,1975 9,1925 11587,36 11587,36 106574,7436 106516,8068 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-13 9,2365 9,2315 11587,84 11587,84 107031,08416 106973,14496 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-14 9,2985 9,2935 11588,32 11588,32 107753,99352 107696,05192 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-15 9,2695 9,2645 11588,81 11588,81 107422,474295 107364,530245 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-16 9,2695 9,2645 11589,28 11589,28 107426,83096 107368,88456 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-17 9,2695 9,2645 11590,7 11590,7 107439,99365 107382,04015 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-20 9,2255 9,2205 11591,17 11591,17 106934,338835 106876,382985 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-21 9,2725 9,2675 11591,64 11591,64 107483,4819 107425,5237 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-22 9,2615 9,2565 11592,12 11592,12 107360,41938 107302,45878 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-23 9,3535 9,3485 11592,59 11592,59 108431,290565 108373,327615 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-27 9,3855 9,3805 11594,48 11594,48 108819,99204 108762,01964 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-28 9,3995 9,3945 11594,96 11594,96 108986,82652 108928,85172 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-29 9,4215 9,4165 11595,43 11595,43 109246,343745 109188,366595 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-06-30 9,4415 9,4365 11595,91 11595,91 109482,784265 109424,804715 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-01 9,4595 9,4545 11595,91 11595,91 109691,510645 109633,531095 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-04 9,4795 9,4745 11597,8 11597,8 109941,3451 109883,3561 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-05 9,4575 9,4525 11598,27 11598,27 109690,638525 109632,647175 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-06 9,4195 9,4145 11598,75 11598,75 109254,425625 109196,431875 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-07 9,3965 9,3915 11599,22 11599,22 108992,07073 108934,07463 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-08 9,4175 9,4125 11600,64 11600,64 109249,0272 109191,024 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-11 9,4665 9,4615 11601,11 11601,11 109821,907815 109763,902265 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-12 9,4645 9,4595 11601,58 11601,58 109803,15391 109745,14601 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-13 9,3915 9,3865 11602,05 11602,05 108960,652575 108902,642325 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-14 9,3675 9,3625 11602,52 11602,52 108686,6061 108628,5935 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-15 9,4055 9,4005 11603,94 11603,94 109140,85767 109082,83797 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-18 9,3895 9,3845 11604,41 11604,41 108959,607695 108901,585645 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-19 9,4425 9,4375 11604,88 11604,88 109579,0794 109521,055 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-20 9,4265 9,4215 11605,35 11605,35 109397,831775 109339,805025 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-21 9,4625 9,4575 11605,83 11605,83 109820,166375 109762,137225 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-22 9,4495 9,4445 11607,24 11607,24 109682,61438 109624,57818 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-25 9,4275 9,4225 11607,72 11607,72 109431,7803 109373,7417 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-26 9,4155 9,4105 11608,19 11608,19 109296,912945 109238,871995 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-27 9,4725 9,4675 11608,66 11608,66 109963,03185 109904,98855 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-28 9,4515 9,4465 11609,13 11609,13 109723,692195 109665,646545 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-07-29 9,3885 9,3835 11610,55 11610,55 109005,648675 108947,595925 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-01 9,3985 9,3935 11611,03 11611,03 109126,265455 109068,210305 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-02 9,3995 9,3945 11611,5 11611,5 109142,29425 109084,23675 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-03 9,3755 9,3705 11611,97 11611,97 108868,024735 108809,964885 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-04 9,3735 9,3685 11612,44 11612,44 108849,20634 108791,14414 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-05 9,3355 9,3305 11613,86 11613,86 108421,19003 108363,12073 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-08 9,3335 9,3285 11614,33 11614,33 108402,349055 108344,277405 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-09 9,3455 9,3405 11614,79 11614,79 108546,019945 108487,945995 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-10 9,3535 9,3485 11615,26 11615,26 108643,33441 108585,25811 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-11 9,3365 9,3315 11615,73 11615,73 108450,263145 108392,184495 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-12 9,3025 9,2975 11617,15 11617,15 108068,537875 108010,452125 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-15 9,3065 9,3015 11617,63 11617,63 108119,473595 108061,385445 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-16 9,2995 9,2945 11618,1 11618,1 108042,52095 107984,43045 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-17 9,3405 9,3355 11618,58 11618,58 108523,34649 108465,25359 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-18 9,3365 9,3315 11619,05 11619,05 108481,260325 108423,165075 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-19 9,3395 9,3345 11620,47 11620,47 108529,379565 108471,277215 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-22 9,3655 9,3605 11620,95 11620,95 108836,007225 108777,902475 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-23 9,3715 9,3665 11621,42 11621,42 108910,13753 108852,03043 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-24 9,3365 9,3315 11621,89 11621,89 108507,775985 108449,666535 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-25 9,3335 9,3285 11622,36 11622,36 108477,29706 108419,18526 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-26 9,3415 9,3365 11623,78 11623,78 108583,54087 108525,42197 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-29 9,3295 9,3245 11624,26 11624,26 108448,53367 108390,41237 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-30 9,3285 9,3235 11624,73 11624,73 108441,293805 108383,170155 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-08-31 9,3585 9,3535 11625,2 11625,2 108794,4342 108736,3082 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-01 9,3365 9,3315 11625,67 11625,67 108543,067955 108484,939605 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-02 9,3025 9,2975 11627,09 11627,09 108161,004725 108102,869275 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-05 9,2845 9,2795 11627,58 11627,58 107956,26651 107898,12861 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-06 9,3225 9,3175 11628,07 11628,07 108402,682575 108344,542225 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-07 9,3075 9,3025 11628,54 11628,54 108232,63605 108174,49335 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-08 9,3255 9,3205 11629 11629 108446,2395 108388,0945 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-09 9,3445 9,3395 11630,42 11630,42 108680,45969 108622,30759 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-12 9,3015 9,2965 11630,89 11630,89 108184,723335 108126,568885 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-13 9,3015 9,2965 11631,37 11631,37 108189,188055 108131,031205 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-14 9,3365 9,3315 11631,84 11631,84 108600,67416 108542,51496 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-15 9,3425 9,3375 11632,32 11632,32 108674,9496 108616,788 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-16 9,3465 9,3415 11633,74 11633,74 108734,75091 108676,58221 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-19 9,3355 9,3305 11634,21 11634,21 108611,167455 108552,996405 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-20 9,3395 9,3345 11634,69 11634,69 108662,187255 108604,013805 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-21 9,3405 9,3355 11635,16 11635,16 108678,21198 108620,03618 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-22 9,3405 9,3355 11635,64 11635,64 108682,69542 108624,51722 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-23 9,3695 9,3645 11637,06 11637,06 109033,43367 108975,24837 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-26 9,3815 9,3765 11637,54 11637,54 109177,58151 109119,39381 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-27 9,3885 9,3835 11638,01 11638,01 109263,456885 109205,266835 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-28 9,3935 9,3885 11638,49 11638,49 109326,155815 109267,963365 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-29 9,3845 9,3795 11638,96 11638,96 109225,82012 109167,62532 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-09-30 9,3435 9,3385 11640,4 11640,4 108762,0774 108703,8754 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-03 9,3025 9,2975 11640,88 11640,88 108289,2862 108231,0818 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-04 9,3185 9,3135 11641,35 11641,35 108479,919975 108421,713225 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-05 9,3105 9,3055 11641,83 11641,83 108391,258215 108333,049065 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-06 9,3015 9,2965 11642,31 11642,31 108290,946465 108232,734915 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-07 9,3385 9,3335 11643,71 11643,71 108734,785835 108676,567285 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-10 9,3465 9,3415 11644,17 11644,17 108832,234905 108774,014055 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-11 9,3395 9,3345 11644,65 11644,65 108755,208675 108696,985425 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-12 9,3375 9,3325 11645,12 11645,12 108736,308 108678,0824 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-13 9,3815 9,3765 11645,61 11645,61 109253,290215 109195,062165 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-14 9,4135 9,4085 11647,06 11647,06 109639,59931 109581,36401 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-17 9,4575 9,4525 11647,54 11647,54 110156,60955 110098,37185 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-18 9,4625 9,4575 11648,02 11648,02 110219,38925 110161,14915 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-19 9,4605 9,4555 11648,5 11648,5 110200,63425 110142,39175 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-20 9,4935 9,4885 11648,98 11648,98 110589,59163 110531,34673 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-21 9,4915 9,4865 11650,42 11650,42 110579,96143 110521,70933 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-24 9,5455 9,5405 11650,9 11650,9 111213,66595 111155,41145 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-25 9,5465 9,5415 11651,39 11651,39 111229,994635 111171,737685 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-26 9,4975 9,4925 11651,87 11651,87 110663,635325 110605,375975 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-27 9,5355 9,5305 11652,35 11652,35 111110,983425 111052,721675 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-28 9,5135 9,5085 11653,8 11653,8 110868,4263 110810,1573 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-10-31 9,5495 9,5445 11653,8 11653,8 111287,9631 111229,6941 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-01 9,5495 9,5445 11654,76 11654,76 111297,13062 111238,85682 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-02 9,5855 9,5805 11655,24 11655,24 111721,30302 111663,02682 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-03 9,6515 9,6465 11655,72 11655,72 112495,18158 112436,90298 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-04 9,5875 9,5825 11657,17 11657,17 111763,117375 111704,831525 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-07 9,6075 9,6025 11657,66 11657,66 112000,96845 111942,68015 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-08 9,5685 9,5635 11658,14 11658,14 111550,91259 111492,62189 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-09 9,5575 9,5525 11658,62 11658,62 111427,26065 111368,96755 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-10 9,6105 9,6055 11659,11 11659,11 112049,876655 111991,581105 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-11 9,6365 9,6315 11660,57 11660,57 112367,082805 112308,779955 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-14 9,5505 9,5455 11661,06 11661,06 111368,95353 111310,64823 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-15 9,5805 9,5755 11661,56 11661,56 111723,57558 111665,26778 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-16 9,6235 9,6185 11662,05 11662,05 112229,738175 112171,427925 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-17 9,6355 9,6305 11662,53 11662,53 112374,307815 112315,995165 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-18 9,6085 9,6035 11664 11664 112073,544 112015,224 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-21 9,5915 9,5865 11664,49 11664,49 111879,955835 111821,633385 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-22 9,5585 9,5535 11664,98 11664,98 111499,71133 111441,38643 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-23 9,5155 9,5105 11665,47 11665,47 111002,779785 110944,452435 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-24 9,5125 9,5075 11665,96 11665,96 110972,4445 110914,1147 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-25 9,4965 9,4915 11667,45 11667,45 110799,938925 110741,601675 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-28 9,4835 9,4785 11667,95 11667,95 110653,003825 110594,664075 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-29 9,4785 9,4735 11668,44 11668,44 110599,30854 110540,96634 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-11-30 9,5295 9,5245 11668,93 11668,93 111199,068435 111140,723785 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-01 9,5165 9,5115 11669,42 11669,42 111052,03543 110993,68833 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-02 9,4905 9,4855 11670,85 11670,85 110762,201925 110703,847675 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-05 9,4065 9,4015 11671,34 11671,34 109786,45971 109728,10301 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-06 9,4185 9,4135 11671,84 11671,84 109931,22504 109872,86584 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-07 9,4255 9,4205 11672,35 11672,35 110017,734925 109959,373175 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-08 9,3965 9,3915 11672,87 11672,87 109684,122955 109625,758605 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-12 9,4315 9,4265 11674,95 11674,95 110112,290925 110053,916175 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-13 9,4295 9,4245 11675,47 11675,47 110093,844365 110035,467015 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-14 9,4365 9,4315 11676 11676 110180,574 110122,194 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-15 9,4345 9,4295 11676,53 11676,53 110162,222285 110103,839635 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-16 9,4765 9,4715 11678,13 11678,13 110667,798945 110609,408295 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-19 9,4535 9,4485 11678,66 11678,66 110404,21231 110345,81901 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-20 9,4015 9,3965 11679,19 11679,19 109801,904785 109743,508835 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-21 9,4485 9,4435 11679,72 11679,72 110355,83442 110297,43582 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-22 9,4365 9,4315 11680,26 11680,26 110220,77349 110162,37219 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-23 9,4425 9,4375 11682,42 11682,42 110311,25085 110252,83875 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-27 9,4915 9,4865 11682,96 11682,96 110888,81484 110830,40004 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-28 9,4345 9,4295 11683,5 11683,5 110227,98075 110169,56325 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-29 9,4115 9,4065 11684,04 11684,04 109964,34246 109905,92226 712125 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - Euro Liquidity Fund EUR 2005-12-30 9,4325 9,4275 11685,68 11685,68 110225,1766 110166,7482 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-03 6,668 6,658 11490,51 11490,51 76618,72068 76503,81558 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-04 6,728 6,718 11491,07 11491,07 77311,91896 77197,00826 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-05 6,828 6,818 11491,63 11491,63 78464,84964 78349,93334 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-07 6,87 6,86 11493,89 11493,89 78963,0243 78848,0854 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-10 6,96091 6,95091 11494,46 11494,46 80011,9015586 79896,9569586 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-11 6,96091 6,95091 11495,03 11495,03 80015,8692773 79900,9189773 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-12 6,913 6,903 11495,6 11495,6 79469,0828 79354,1268 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-13 6,843 6,833 11496,17 11496,17 78668,29131 78553,32961 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-14 6,915 6,905 11498,45 11498,45 79511,78175 79396,79725 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-18 6,968 6,958 11499,02 11499,02 80125,17136 80010,18116 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-19 6,91 6,9 11499,59 11499,59 79462,1669 79347,171 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-20 6,96 6,95 11500,16 11500,16 80041,1136 79926,112 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-21 6,978 6,968 11501,88 11501,88 80260,11864 80145,09984 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-24 6,933 6,923 11502,45 11502,45 79746,48585 79631,46135 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-25 6,95 6,94 11503,02 11503,02 79945,989 79830,9588 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-26 6,995 6,985 11503,6 11503,6 80467,682 80352,646 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-27 6,93 6,92 11504,18 11504,18 79723,9674 79608,9256 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-28 6,985 6,975 11505,95 11505,95 80369,06075 80254,00125 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-01-31 6,998 6,988 11506,54 11506,54 80522,76692 80407,70152 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-01 6,993 6,983 11507,14 11507,14 80469,43002 80354,35862 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-02 6,953 6,943 11507,73 11507,73 80013,24669 79898,16939 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-03 6,968 6,958 11508,34 11508,34 80190,11312 80075,02972 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-04 7,01 7 11510,17 11510,17 80686,2917 80571,19 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-07 7,065 7,055 11510,78 11510,78 81323,6607 81208,5529 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-08 7,123 7,113 11511,39 11511,39 81995,63097 81880,51707 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-09 7,1 7,09 11512,01 11512,01 81735,271 81620,1509 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-10 7,088 7,078 11512,63 11512,63 81601,52144 81486,39514 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-11 7,068 7,058 11514,51 11514,51 81384,55668 81269,41158 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-14 7,03 7,02 11515,14 11515,14 80951,4342 80836,2828 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-15 7,005 6,995 11515,78 11515,78 80668,0389 80552,8811 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-16 6,973 6,963 11516,42 11516,42 80303,99666 80188,83246 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-17 6,97 6,96 11517,05 11517,05 80273,8385 80158,668 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-18 6,965 6,955 11519,59 11519,59 80233,94435 80118,74845 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-22 6,905 6,895 11520,24 11520,24 79547,2572 79432,0548 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-23 6,895 6,885 11520,88 11520,88 79436,4676 79321,2588 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-24 6,858 6,848 11521,53 11521,53 79014,65274 78899,43744 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-25 6,885 6,875 11523,48 11523,48 79339,1598 79223,925 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-02-28 6,828 6,818 11524,14 11524,14 78686,82792 78571,58652 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-01 6,87 6,86 11524,78 11524,78 79175,2386 79059,9908 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-02 6,888 6,878 11525,43 11525,43 79387,16184 79271,90754 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-03 6,903 6,893 11526,08 11526,08 79564,53024 79449,26944 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-04 6,9 6,89 11528,04 11528,04 79543,476 79428,1956 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-07 6,84 6,83 11528,7 11528,7 78856,308 78741,021 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-08 6,825 6,815 11529,35 11529,35 78687,81375 78572,52025 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-09 6,76 6,75 11530,01 11530,01 77942,8676 77827,5675 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-10 6,745 6,735 11530,67 11530,67 77774,36915 77659,06245 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-11 6,765 6,755 11532,65 11532,65 78018,37725 77903,05075 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-14 6,76 6,75 11533,31 11533,31 77965,1756 77849,8425 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-15 6,815 6,805 11533,99 11533,99 78604,14185 78488,80195 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-16 6,81 6,8 11534,66 11534,66 78551,0346 78435,688 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-17 6,795 6,785 11535,34 11535,34 78382,6353 78267,2819 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-18 6,828 6,818 11537,4 11537,4 78777,3672 78661,9932 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-21 6,908 6,898 11538,09 11538,09 79705,12572 79589,74482 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-22 6,928 6,918 11538,78 11538,78 79940,66784 79825,28004 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-23 6,973 6,963 11539,48 11539,48 80464,79404 80349,39924 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-24 7,008 6,998 11542,29 11542,29 80888,36832 80772,94542 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-29 7,055 7,045 11543,7 11543,7 81440,8035 81325,3665 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-30 7,053 7,043 11544,42 11544,42 81422,79426 81307,35006 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-03-31 7,065 7,055 11545,15 11545,15 81566,48475 81451,03325 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-01 7,07 7,06 11547,34 11547,34 81639,6938 81524,2204 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-04 7,113 7,103 11548,07 11548,07 82141,42191 82025,94121 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-05 7,163 7,153 11548,8 11548,8 82724,0544 82608,5664 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-06 7,125 7,115 11549,53 11549,53 82290,40125 82174,90595 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-07 7,083 7,073 11550,26 11550,26 81810,49158 81694,98898 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-08 7,153 7,143 11552,46 11552,46 82634,74638 82519,22178 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-11 7,098 7,088 11553,19 11553,19 82004,54262 81889,01072 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-12 7,048 7,038 11553,93 11553,93 81432,09864 81316,55934 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-13 7,075 7,065 11554,67 11554,67 81749,29025 81633,74355 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-14 7,12 7,11 11555,42 11555,42 82274,5904 82159,0362 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-15 7,17 7,16 11557,66 11557,66 82868,4222 82752,8456 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-18 7,08 7,07 11558,41 11558,41 81833,5428 81717,9587 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-19 7,068 7,058 11559,15 11559,15 81700,0722 81584,4807 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-20 7,043 7,033 11559,9 11559,9 81416,3757 81300,7767 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-21 7,025 7,015 11560,64 11560,64 81213,496 81097,8896 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-22 7,023 7,013 11562,87 11562,87 81206,03601 81090,40731 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-25 7,04 7,03 11563,62 11563,62 81407,8848 81292,2486 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-26 7,035 7,025 11564,36 11564,36 81355,2726 81239,629 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-27 7,085 7,075 11565,11 11565,11 81938,80435 81823,15325 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-28 7,085 7,075 11565,86 11565,86 81944,1181 81828,4595 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-04-29 7,08 7,07 11568,15 11568,15 81902,502 81786,8205 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-02 7,15 7,14 11568,93 11568,93 82717,8495 82602,1602 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-03 7,178 7,168 11569,7 11569,7 83047,3066 82931,6096 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-04 7,11 7,1 11570,49 11570,49 82266,1839 82150,479 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-06 7,085 7,075 11573,63 11573,63 81999,16855 81883,43225 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-09 7,168 7,158 11574,41 11574,41 82965,37088 82849,62678 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-10 7,178 7,168 11575,2 11575,2 83086,7856 82971,0336 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-11 7,15 7,14 11575,99 11575,99 82768,3285 82652,5686 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-12 7,243 7,233 11576,78 11576,78 83850,61754 83734,84974 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-13 7,265 7,255 11579,16 11579,16 84122,5974 84006,8058 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-16 7,32 7,31 11579,96 11579,96 84765,3072 84649,5076 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-17 7,313 7,303 11580,76 11580,76 84690,09788 84574,29028 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-18 7,3 7,29 11581,56 11581,56 84545,388 84429,5724 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-19 7,26 7,25 11582,36 11582,36 84087,9336 83972,11 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-20 7,28 7,27 11584,77 11584,77 84337,1256 84221,2779 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-23 7,32 7,31 11585,57 11585,57 84806,3724 84690,5167 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-24 7,295 7,285 11586,38 11586,38 84522,6421 84406,7783 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-25 7,298 7,288 11587,18 11587,18 84563,23964 84447,36784 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-26 7,33 7,32 11587,99 11587,99 84939,9667 84824,0868 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-27 7,338 7,328 11591,22 11591,22 85056,37236 84940,46016 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-05-31 7,403 7,393 11592,03 11592,03 85815,79809 85699,87779 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-01 7,428 7,418 11592,84 11592,84 86111,61552 85995,68712 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-02 7,473 7,463 11593,65 11593,65 86639,34645 86523,40995 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-03 7,438 7,428 11596,09 11596,09 86251,71742 86135,75652 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-07 7,448 7,438 11597,73 11597,73 86379,89304 86263,91574 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-08 7,435 7,425 11598,55 11598,55 86235,21925 86119,23375 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-09 7,523 7,513 11599,37 11599,37 87262,06051 87146,06681 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-10 7,525 7,515 11601,84 11601,84 87303,846 87187,8276 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-13 7,643 7,633 11602,67 11602,67 88679,20681 88563,18011 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-14 7,663 7,653 11603,5 11603,5 88917,6205 88801,5855 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-15 7,693 7,683 11604,33 11604,33 89272,11069 89156,06739 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-16 7,678 7,668 11605,16 11605,16 89104,41848 88988,36688 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-17 7,643 7,633 11607,67 11607,67 88717,42181 88601,34511 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-20 7,543 7,533 11608,5 11608,5 87562,9155 87446,8305 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-21 7,648 7,638 11609,34 11609,34 88788,23232 88672,13892 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-22 7,608 7,598 11610,18 11610,18 88330,24944 88214,14764 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-23 7,73 7,72 11611,02 11611,02 89753,1846 89637,0744 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-27 7,73 7,72 11614,42 11614,42 89779,4666 89663,3224 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-28 7,76 7,75 11615,28 11615,28 90134,5728 90018,42 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-29 7,833 7,823 11616,14 11616,14 90989,22462 90873,06322 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-06-30 7,823 7,813 11617,02 11617,02 90879,94746 90763,77726 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-01 7,858 7,848 11617,02 11617,02 91286,54316 91170,37296 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-05 7,963 7,953 11621,41 11621,41 92541,28783 92425,07373 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-06 7,895 7,885 11622,29 11622,29 91757,97955 91641,75665 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-07 7,878 7,868 11623,17 11623,17 91567,33326 91451,10156 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-08 7,913 7,903 11625,81 11625,81 91995,03453 91878,77643 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-11 7,89 7,88 11626,69 11626,69 91734,5841 91618,3172 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-12 7,77 7,76 11627,57 11627,57 90346,2189 90229,9432 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-13 7,703 7,693 11628,45 11628,45 89573,95035 89457,66585 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-14 7,76 7,75 11629,34 11629,34 90243,6784 90127,385 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-15 7,76 7,75 11632,03 11632,03 90264,5528 90148,2325 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-18 7,78 7,77 11632,92 11632,92 90504,1176 90387,7884 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-19 7,878 7,868 11633,81 11633,81 91651,15518 91534,81708 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-20 7,818 7,808 11634,7 11634,7 90960,0846 90843,7376 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-21 7,775 7,765 11635,59 11635,59 90466,71225 90350,35635 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-22 7,758 7,748 11638,27 11638,27 90289,69866 90173,31596 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-25 7,838 7,828 11639,17 11639,17 91227,81446 91111,42276 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-26 7,818 7,808 11640,07 11640,07 91002,06726 90885,66656 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-27 7,905 7,895 11640,98 11640,98 92021,9469 91905,5371 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-28 7,848 7,838 11641,88 11641,88 91365,47424 91249,05544 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-07-29 7,748 7,738 11644,6 11644,6 90222,3608 90105,9148 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-01 7,72 7,71 11645,51 11645,51 89903,3372 89786,8821 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-02 7,7 7,69 11646,41 11646,41 89677,357 89560,8929 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-03 7,685 7,675 11647,32 11647,32 89509,6542 89393,181 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-04 7,618 7,608 11648,23 11648,23 88736,21614 88619,73384 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-05 7,548 7,538 11651 11651 87941,748 87825,238 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-08 7,558 7,548 11651,93 11651,93 88065,28694 87948,76764 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-09 7,548 7,538 11652,87 11652,87 87955,86276 87839,33406 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-10 7,558 7,548 11653,81 11653,81 88079,49598 87962,95788 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-11 7,523 7,513 11654,75 11654,75 87678,68425 87562,13675 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-12 7,46 7,45 11657,58 11657,58 86965,5468 86848,971 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-15 7,508 7,498 11658,54 11658,54 87532,31832 87415,73292 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-16 7,523 7,513 11659,48 11659,48 87714,26804 87597,67324 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-17 7,605 7,595 11660,43 11660,43 88677,57015 88560,96585 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-18 7,61 7,6 11661,38 11661,38 88743,1018 88626,488 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-19 7,698 7,688 11664,24 11664,24 89791,31952 89674,67712 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-22 7,69 7,68 11665,2 11665,2 89705,388 89588,736 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-23 7,663 7,653 11666,15 11666,15 89397,70745 89281,04595 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-24 7,673 7,663 11667,11 11667,11 89521,73503 89405,06393 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-25 7,588 7,578 11668,08 11668,08 88537,39104 88420,71024 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-26 7,578 7,568 11670,97 11670,97 88442,61066 88325,90096 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-29 7,573 7,563 11671,95 11671,95 88391,67735 88274,95785 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-30 7,633 7,623 11672,92 11672,92 89099,39836 88982,66916 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-08-31 7,668 7,658 11673,9 11673,9 89515,4652 89398,7262 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-01 7,568 7,558 11674,88 11674,88 88355,49184 88238,74304 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-02 7,435 7,425 11678,78 11678,78 86831,7293 86714,9415 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-06 7,485 7,475 11679,76 11679,76 87423,0036 87306,206 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-07 7,43 7,42 11680,74 11680,74 86787,8982 86671,0908 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-08 7,498 7,488 11681,72 11681,72 87589,53656 87472,71936 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-09 7,523 7,513 11684,66 11684,66 87903,69718 87786,85058 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-12 7,555 7,545 11685,64 11685,64 88285,0102 88168,1538 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-13 7,57 7,56 11686,62 11686,62 88467,7134 88350,8472 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-14 7,61 7,6 11687,61 11687,61 88942,7121 88825,836 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-15 7,658 7,648 11688,61 11688,61 89511,37538 89394,48928 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-16 7,613 7,603 11691,6 11691,6 89008,1508 88891,2348 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-19 7,698 7,688 11692,6 11692,6 90009,6348 89892,7088 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-20 7,688 7,678 11693,61 11693,61 89900,47368 89783,53758 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-21 7,663 7,653 11694,63 11694,63 89615,94969 89499,00339 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-22 7,648 7,638 11695,65 11695,65 89448,3312 89331,3747 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-23 7,733 7,723 11698,71 11698,71 90466,12443 90349,13733 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-26 7,798 7,788 11699,74 11699,74 91234,57252 91117,57512 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-27 7,825 7,815 11700,76 11700,76 91558,447 91441,4394 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-28 7,81 7,8 11701,79 11701,79 91390,9799 91273,962 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-29 7,785 7,775 11702,83 11702,83 91106,53155 90989,50325 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-09-30 7,785 7,775 11705,96 11705,96 91130,8986 91013,839 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-03 7,783 7,773 11707 11707 91115,581 90998,511 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-04 7,82 7,81 11708,04 11708,04 91556,8728 91439,7924 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-05 7,795 7,785 11709,08 11709,08 91272,2786 91155,1878 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-06 7,713 7,703 11710,13 11710,13 90320,23269 90203,13139 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-07 7,683 7,673 11714,31 11714,31 90001,04373 89883,90063 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-11 7,77 7,76 11715,36 11715,36 91028,3472 90911,1936 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-12 7,805 7,795 11716,4 11716,4 91446,502 91329,338 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-13 7,83 7,82 11717,45 11717,45 91747,6335 91630,459 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-14 7,833 7,823 11720,61 11720,61 91807,53813 91690,33203 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-17 7,835 7,825 11721,67 11721,67 91839,28445 91722,06775 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-18 7,893 7,883 11722,73 11722,73 92527,50789 92410,28059 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-19 7,96 7,95 11723,78 11723,78 93321,2888 93204,051 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-20 7,93 7,92 11724,84 11724,84 92977,9812 92860,7328 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-21 7,883 7,873 11728,04 11728,04 92452,13932 92334,85892 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-24 7,995 7,985 11729,1 11729,1 93774,1545 93656,8635 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-25 7,99 7,98 11730,17 11730,17 93724,0583 93606,7566 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-26 7,868 7,858 11731,24 11731,24 92301,39632 92184,08392 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-27 7,868 7,858 11732,32 11732,32 92309,89376 92192,57056 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-28 7,825 7,815 11735,56 11735,56 91830,757 91713,4014 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-10-31 7,905 7,895 11736,66 11736,66 92778,2973 92660,9307 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-01 7,963 7,953 11737,76 11737,76 93467,78288 93350,40528 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-02 7,98 7,97 11738,87 11738,87 93676,1826 93558,7939 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-03 8,01 8 11739,98 11739,98 94037,2398 93919,84 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-04 8,028 8,018 11743,33 11743,33 94275,45324 94158,01994 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-07 8,135 8,125 11744,44 11744,44 95541,0194 95423,575 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-08 8,17 8,16 11745,56 11745,56 95961,2252 95843,7696 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-09 8,12 8,11 11746,67 11746,67 95382,9604 95265,4937 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-10 8,173 8,163 11751,15 11751,15 96042,14895 95924,63745 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-14 8,133 8,123 11752,27 11752,27 95581,21191 95463,68921 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-15 8,185 8,175 11753,4 11753,4 96201,579 96084,045 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-16 8,21 8,2 11754,52 11754,52 96504,6092 96387,064 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-17 8,258 8,248 11755,65 11755,65 97078,1577 96960,6012 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-18 8,223 8,213 11759,03 11759,03 96694,50369 96576,91339 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-21 8,123 8,113 11760,17 11760,17 95527,86091 95410,25921 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-22 8,15 8,14 11761,3 11761,3 95854,595 95736,982 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-23 8,048 8,038 11763,58 11763,58 94673,29184 94555,65604 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-25 8,078 8,068 11767,01 11767,01 95053,90678 94936,23668 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-28 8,118 8,108 11768,15 11768,15 95533,8417 95416,1602 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-29 8,015 8,005 11769,29 11769,29 94330,85935 94213,16645 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-11-30 8,088 8,078 11770,44 11770,44 95199,31872 95081,61432 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-01 8,083 8,073 11771,59 11771,59 95149,76197 95032,04607 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-02 8,103 8,093 11775,03 11775,03 95413,06809 95295,31779 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-05 8,045 8,035 11776,18 11776,18 94739,3681 94621,6063 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-06 7,993 7,983 11777,34 11777,34 94136,27862 94018,50522 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-07 8,015 8,005 11778,49 11778,49 94404,59735 94286,81245 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-08 7,988 7,978 11779,65 11779,65 94095,8442 93978,0477 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-12 7,953 7,943 11784,36 11784,36 93721,01508 93603,17148 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-13 7,905 7,895 11785,55 11785,55 93164,77275 93046,91725 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-14 7,848 7,838 11786,74 11786,74 92502,33552 92384,46812 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-15 7,858 7,848 11787,95 11787,95 92629,7111 92511,8316 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-16 7,903 7,893 11791,56 11791,56 93188,69868 93070,78308 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-19 7,865 7,855 11792,77 11792,77 92750,13605 92632,20835 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-20 7,848 7,838 11793,99 11793,99 92559,23352 92441,29362 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-21 7,948 7,938 11795,2 11795,2 93748,2496 93630,2976 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-22 7,98 7,97 11796,41 11796,41 94135,3518 94017,3877 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-23 7,955 7,945 11801,26 11801,26 93879,0233 93761,0107 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-27 8,01 8 11802,48 11802,48 94537,8648 94419,84 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-28 7,915 7,905 11803,69 11803,69 93426,20635 93308,16945 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-29 7,938 7,928 11804,91 11804,91 93707,37558 93589,32648 676296 JPMorgan Asset Management (Europe) S.a.r.l. JPM Liquidity Funds - US Dollar Liquidity Fund USD 2005-12-30 7,958 7,948 11809,77 11809,77 93982,14966 93864,05196 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-03 6,668 6,658 110,33 110,33 735,68044 734,57714 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-04 6,728 6,718 108,52 108,52 730,12256 729,03736 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-05 6,828 6,818 106,06 106,06 724,17768 723,11708 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-07 6,87 6,86 105,03 105,03 721,5561 720,5058 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-10 6,96091 6,95091 104,94 104,94 730,4778954 729,4284954 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-11 6,96091 6,95091 105,28 105,28 732,8446048 731,7918048 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-12 6,913 6,903 105,05 105,05 726,21065 725,16015 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-13 6,843 6,833 105,85 105,85 724,33155 723,27305 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-14 6,915 6,905 106,53 106,53 736,65495 735,58965 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-18 6,968 6,958 106,8 106,8 744,1824 743,1144 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-19 6,91 6,9 107,41 107,41 742,2031 741,129 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-20 6,96 6,95 106,29 106,29 739,7784 738,7155 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-21 6,978 6,968 106,18 106,18 740,92404 739,86224 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-24 6,933 6,923 106,58 106,58 738,91914 737,85334 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-25 6,95 6,94 106,92 106,92 743,094 742,0248 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-26 6,995 6,985 107,58 107,58 752,5221 751,4463 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-27 6,93 6,92 107,92 107,92 747,8856 746,8064 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-28 6,985 6,975 108,63 108,63 758,78055 757,69425 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-01-31 6,998 6,988 109,84 109,84 768,66032 767,56192 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-01 6,993 6,983 109,78 109,78 767,69154 766,59374 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-02 6,953 6,943 110,22 110,22 766,35966 765,25746 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-03 6,968 6,958 110,78 110,78 771,91504 770,80724 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-04 7,01 7 111,61 111,61 782,3861 781,27 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-07 7,065 7,055 112,42 112,42 794,2473 793,1231 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-08 7,123 7,113 112,39 112,39 800,55397 799,43007 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-09 7,1 7,09 112,19 112,19 796,549 795,4271 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-10 7,088 7,078 112,11 112,11 794,63568 793,51458 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-11 7,068 7,058 112,56 112,56 795,57408 794,44848 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-14 7,03 7,02 114,45 114,45 804,5835 803,439 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-15 7,005 6,995 114,41 114,41 801,44205 800,29795 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-16 6,973 6,963 114,46 114,46 798,12958 796,98498 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-17 6,97 6,96 114,7 114,7 799,459 798,312 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-18 6,965 6,955 115,29 115,29 802,99485 801,84195 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-22 6,905 6,895 116,05 116,05 801,32525 800,16475 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-23 6,895 6,885 115,63 115,63 797,26885 796,11255 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-24 6,858 6,848 116,79 116,79 800,94582 799,77792 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-25 6,885 6,875 117,61 117,61 809,74485 808,56875 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-02-28 6,828 6,818 119,24 119,24 814,17072 812,97832 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-01 6,87 6,86 118,84 118,84 816,4308 815,2424 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-02 6,888 6,878 117,14 117,14 806,86032 805,68892 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-03 6,903 6,893 117,84 117,84 813,44952 812,27112 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-04 6,9 6,89 117,83 117,83 813,027 811,8487 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-07 6,84 6,83 118,52 118,52 810,6768 809,4916 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-08 6,825 6,815 118,38 118,38 807,9435 806,7597 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-09 6,76 6,75 118,46 118,46 800,7896 799,605 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-10 6,745 6,735 117,28 117,28 791,0536 789,8808 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-11 6,765 6,755 118,02 118,02 798,4053 797,2251 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-14 6,76 6,75 116,29 116,29 786,1204 784,9575 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-15 6,815 6,805 114,44 114,44 779,9086 778,7642 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-16 6,81 6,8 113,13 113,13 770,4153 769,284 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-17 6,795 6,785 112,82 112,82 766,6119 765,4837 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-18 6,828 6,818 113,36 113,36 774,02208 772,88848 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-21 6,908 6,898 112,49 112,49 777,08092 775,95602 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-22 6,928 6,918 112,41 112,41 778,77648 777,65238 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-23 6,973 6,963 110,1 110,1 767,7273 766,6263 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-24 7,008 6,998 109,92 109,92 770,31936 769,22016 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-29 7,055 7,045 108,77 108,77 767,37235 766,28465 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-30 7,053 7,043 108,24 108,24 763,41672 762,33432 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-03-31 7,065 7,055 110,18 110,18 778,4217 777,3199 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-01 7,07 7,06 111,74 111,74 790,0018 788,8844 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-04 7,113 7,103 111,09 111,09 790,18317 789,07227 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-05 7,163 7,153 111,3 111,3 797,2419 796,1289 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-06 7,125 7,115 111,73 111,73 796,07625 794,95895 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-07 7,083 7,073 111,59 111,59 790,39197 789,27607 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-08 7,153 7,143 112,21 112,21 802,63813 801,51603 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-11 7,098 7,088 111,82 111,82 793,69836 792,58016 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-12 7,048 7,038 111,83 111,83 788,17784 787,05954 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-13 7,075 7,065 111,92 111,92 791,834 790,7148 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-14 7,12 7,11 110,07 110,07 783,6984 782,5977 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-15 7,17 7,16 108,68 108,68 779,2356 778,1488 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-18 7,08 7,07 106,38 106,38 753,1704 752,1066 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-19 7,068 7,058 107,73 107,73 761,43564 760,35834 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-20 7,043 7,033 108,08 108,08 761,20744 760,12664 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-21 7,025 7,015 108,35 108,35 761,15875 760,07525 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-22 7,023 7,013 108,94 108,94 765,08562 763,99622 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-25 7,04 7,03 108,77 108,77 765,7408 764,6531 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-26 7,035 7,025 109,29 109,29 768,85515 767,76225 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-27 7,085 7,075 108,55 108,55 769,07675 767,99125 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-28 7,085 7,075 107,63 107,63 762,55855 761,48225 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-04-29 7,08 7,07 107,73 107,73 762,7284 761,6511 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-02 7,15 7,14 108,01 108,01 772,2715 771,1914 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-03 7,178 7,168 108,09 108,09 775,87002 774,78912 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-04 7,11 7,1 109,46 109,46 778,2606 777,166 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-06 7,085 7,075 111,69 111,69 791,32365 790,20675 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-09 7,168 7,158 111,58 111,58 799,80544 798,68964 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-10 7,178 7,168 111,05 111,05 797,1169 796,0064 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-11 7,15 7,14 109,97 109,97 786,2855 785,1858 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-12 7,243 7,233 109,74 109,74 794,84682 793,74942 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-13 7,265 7,255 109,03 109,03 792,10295 791,01265 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-16 7,32 7,31 108,73 108,73 795,9036 794,8163 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-17 7,313 7,303 108,84 108,84 795,94692 794,85852 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-18 7,3 7,29 109,57 109,57 799,861 798,7653 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-19 7,26 7,25 110,87 110,87 804,9162 803,8075 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-20 7,28 7,27 110,72 110,72 806,0416 804,9344 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-23 7,32 7,31 110,42 110,42 808,2744 807,1702 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-24 7,295 7,285 110,61 110,61 806,89995 805,79385 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-25 7,298 7,288 110,61 110,61 807,23178 806,12568 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-26 7,33 7,32 110,84 110,84 812,4572 811,3488 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-27 7,338 7,328 112,08 112,08 822,44304 821,32224 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-05-31 7,403 7,393 112,19 112,19 830,54257 829,42067 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-01 7,428 7,418 111,16 111,16 825,69648 824,58488 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-02 7,473 7,463 112,13 112,13 837,94749 836,82619 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-03 7,438 7,428 113,42 113,42 843,61796 842,48376 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-07 7,448 7,438 112,96 112,96 841,32608 840,19648 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-08 7,435 7,425 113,33 113,33 842,60855 841,47525 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-09 7,523 7,513 112,57 112,57 846,86411 845,73841 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-10 7,525 7,515 113,58 113,58 854,6895 853,5537 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-13 7,643 7,633 113,58 113,58 868,09194 866,95614 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-14 7,663 7,653 113,69 113,69 871,20647 870,06957 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-15 7,693 7,683 114,58 114,58 881,46394 880,31814 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-16 7,678 7,668 115,23 115,23 884,73594 883,58364 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-17 7,643 7,633 116,29 116,29 888,80447 887,64157 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-20 7,543 7,533 115,89 115,89 874,15827 872,99937 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-21 7,648 7,638 115,7 115,7 884,8736 883,7166 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-22 7,608 7,598 116,54 116,54 886,63632 885,47092 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-23 7,73 7,72 116,42 116,42 899,9266 898,7624 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-27 7,73 7,72 114,8 114,8 887,404 886,256 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-28 7,76 7,75 115,31 115,31 894,8056 893,6525 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-29 7,833 7,823 115,17 115,17 902,12661 900,97491 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-06-30 7,823 7,813 115,15 115,15 900,81845 899,66695 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-01 7,858 7,848 115,89 115,89 910,66362 909,50472 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-05 7,963 7,953 114,89 114,89 914,86907 913,72017 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-06 7,895 7,885 115,31 115,31 910,37245 909,21935 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-07 7,878 7,868 114,75 114,75 904,0005 902,853 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-08 7,913 7,903 115,43 115,43 913,39759 912,24329 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-11 7,89 7,88 117,37 117,37 926,0493 924,8756 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-12 7,77 7,76 118,8 118,8 923,076 921,888 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-13 7,703 7,693 119,32 119,32 919,12196 917,92876 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-14 7,76 7,75 120,27 120,27 933,2952 932,0925 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-15 7,76 7,75 119,38 119,38 926,3888 925,195 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-18 7,78 7,77 119,22 119,22 927,5316 926,3394 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-19 7,878 7,868 119,59 119,59 942,13002 940,93412 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-20 7,818 7,808 120,12 120,12 939,09816 937,89696 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-21 7,775 7,765 121,55 121,55 945,05125 943,83575 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-22 7,758 7,748 121,58 121,58 943,21764 942,00184 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-25 7,838 7,828 121,5 121,5 952,317 951,102 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-26 7,818 7,808 120,04 120,04 938,47272 937,27232 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-27 7,905 7,895 120,56 120,56 953,0268 951,8212 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-28 7,848 7,838 122,15 122,15 958,6332 957,4117 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-07-29 7,748 7,738 123,01 123,01 953,08148 951,85138 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-01 7,72 7,71 123,85 123,85 956,122 954,8835 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-02 7,7 7,69 124,98 124,98 962,346 961,0962 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-03 7,685 7,675 126,04 126,04 968,6174 967,357 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-04 7,618 7,608 125,85 125,85 958,7253 957,4668 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-05 7,548 7,538 125,13 125,13 944,48124 943,22994 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-08 7,558 7,548 125,18 125,18 946,11044 944,85864 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-09 7,548 7,538 125,37 125,37 946,29276 945,03906 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-10 7,558 7,548 126,6 126,6 956,8428 955,5768 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-11 7,523 7,513 127,02 127,02 955,57146 954,30126 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-12 7,46 7,45 125,8 125,8 938,468 937,21 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-15 7,508 7,498 125,65 125,65 943,3802 942,1237 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-16 7,523 7,513 125,79 125,79 946,31817 945,06027 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-17 7,605 7,595 125,16 125,16 951,8418 950,5902 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-18 7,61 7,6 124,01 124,01 943,7161 942,476 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-19 7,698 7,688 123,73 123,73 952,47354 951,23624 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-22 7,69 7,68 124,74 124,74 959,2506 958,0032 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-23 7,663 7,653 124,41 124,41 953,35383 952,10973 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-24 7,673 7,663 123,29 123,29 946,00417 944,77127 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-25 7,588 7,578 123,25 123,25 935,221 933,9885 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-26 7,578 7,568 123,54 123,54 936,18612 934,95072 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-29 7,573 7,563 122,39 122,39 926,85947 925,63557 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-30 7,633 7,623 122,86 122,86 937,79038 936,56178 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-08-31 7,668 7,658 122,96 122,96 942,85728 941,62768 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-01 7,568 7,558 125,2 125,2 947,5136 946,2616 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-02 7,435 7,425 126,39 126,39 939,70965 938,44575 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-06 7,485 7,475 127,01 127,01 950,66985 949,39975 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-07 7,43 7,42 127,35 127,35 946,2105 944,937 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-08 7,498 7,488 127,61 127,61 956,81978 955,54368 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-09 7,523 7,513 128 128 962,944 961,664 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-12 7,555 7,545 128,81 128,81 973,15955 971,87145 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-13 7,57 7,56 128,37 128,37 971,7609 970,4772 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-14 7,61 7,6 128,22 128,22 975,7542 974,472 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-15 7,658 7,648 128,73 128,73 985,81434 984,52704 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-16 7,613 7,603 129,24 129,24 983,90412 982,61172 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-19 7,698 7,688 129,59 129,59 997,58382 996,28792 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-20 7,688 7,678 130,59 130,59 1003,97592 1002,67002 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-21 7,663 7,653 130,67 130,67 1001,32421 1000,01751 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-22 7,648 7,638 130,16 130,16 995,46368 994,16208 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-23 7,733 7,723 128,66 128,66 994,92778 993,64118 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-26 7,798 7,788 129,62 129,62 1010,77676 1009,48056 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-27 7,825 7,815 130,38 130,38 1020,2235 1018,9197 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-28 7,81 7,8 131,18 131,18 1024,5158 1023,204 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-29 7,785 7,775 131,88 131,88 1026,6858 1025,367 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-09-30 7,785 7,775 132,59 132,59 1032,21315 1030,88725 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-03 7,783 7,773 132,91 132,91 1034,43853 1033,10943 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-04 7,82 7,81 134,24 134,24 1049,7568 1048,4144 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-05 7,795 7,785 131,87 131,87 1027,92665 1026,60795 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-06 7,713 7,703 128,52 128,52 991,27476 989,98956 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-07 7,683 7,673 128,03 128,03 983,65449 982,37419 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-10 7,698 7,688 129,41 129,41 996,19818 994,90408 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-11 7,77 7,76 130,35 130,35 1012,8195 1011,516 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-12 7,805 7,795 128,54 128,54 1003,2547 1001,9693 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-13 7,83 7,82 125,14 125,14 979,8462 978,5948 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-14 7,833 7,823 124,69 124,69 976,69677 975,44987 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-17 7,835 7,825 124,92 124,92 978,7482 977,499 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-18 7,893 7,883 125,11 125,11 987,49323 986,24213 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-19 7,96 7,95 121,57 121,57 967,6972 966,4815 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-20 7,93 7,92 123,26 123,26 977,4518 976,2192 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-21 7,883 7,873 122,87 122,87 968,58421 967,35551 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-24 7,995 7,985 123,38 123,38 986,4231 985,1893 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-25 7,99 7,98 124,08 124,08 991,3992 990,1584 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-26 7,868 7,858 124,05 124,05 976,0254 974,7849 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-27 7,868 7,858 123,54 123,54 972,01272 970,77732 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-28 7,825 7,815 122,56 122,56 959,032 957,8064 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-10-31 7,905 7,895 124,85 124,85 986,93925 985,69075 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-01 7,963 7,953 127,19 127,19 1012,81397 1011,54207 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-02 7,98 7,97 128,75 128,75 1027,425 1026,1375 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-03 8,01 8 130,27 130,27 1043,4627 1042,16 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-04 8,028 8,018 130,08 130,08 1044,28224 1042,98144 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-07 8,135 8,125 129,24 129,24 1051,3674 1050,075 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-08 8,17 8,16 129,2 129,2 1055,564 1054,272 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-09 8,12 8,11 130,07 130,07 1056,1684 1054,8677 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-10 8,173 8,163 130,34 130,34 1065,26882 1063,96542 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-11 8,235 8,225 131,2 131,2 1080,432 1079,12 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-14 8,133 8,123 131,2 131,2 1067,0496 1065,7376 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-15 8,185 8,175 131,4 131,4 1075,509 1074,195 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-16 8,21 8,2 131,61 131,61 1080,5181 1079,202 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-17 8,258 8,248 133,07 133,07 1098,89206 1097,56136 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-18 8,223 8,213 133,8 133,8 1100,2374 1098,8994 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-21 8,123 8,113 133,9 133,9 1087,6697 1086,3307 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-22 8,15 8,14 132,25 132,25 1077,8375 1076,515 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-23 8,048 8,038 135,27 135,27 1088,65296 1087,30026 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-25 8,078 8,068 135,61 135,61 1095,45758 1094,10148 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-28 8,118 8,108 136,07 136,07 1104,61626 1103,25556 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-29 8,015 8,005 135,35 135,35 1084,83025 1083,47675 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-11-30 8,088 8,078 134,8 134,8 1090,2624 1088,9144 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-01 8,083 8,073 137,02 137,02 1107,53266 1106,16246 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-02 8,103 8,093 138,32 138,32 1120,80696 1119,42376 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-05 8,045 8,035 139 139 1118,255 1116,865 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-06 7,993 7,983 139,5 139,5 1115,0235 1113,6285 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-07 8,015 8,005 140,54 140,54 1126,4281 1125,0227 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-08 7,988 7,978 139,1 139,1 1111,1308 1109,7398 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-12 7,953 7,943 139,37 139,37 1108,40961 1107,01591 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-13 7,905 7,895 139,36 139,36 1101,6408 1100,2472 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-14 7,848 7,838 139,54 139,54 1095,10992 1093,71452 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-15 7,858 7,848 139,35 139,35 1095,0123 1093,6188 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-16 7,903 7,893 138,72 138,72 1096,30416 1094,91696 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-19 7,865 7,855 139,6 139,6 1097,954 1096,558 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-20 7,848 7,838 139,42 139,42 1094,16816 1092,77396 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-21 7,948 7,938 140,72 140,72 1118,44256 1117,03536 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-22 7,98 7,97 141,04 141,04 1125,4992 1124,0888 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-23 7,955 7,945 141,94 141,94 1129,1327 1127,7133 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-27 8,01 8 142,18 142,18 1138,8618 1137,44 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-28 7,915 7,905 141,41 141,41 1119,26015 1117,84605 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-29 7,938 7,928 142,36 142,36 1130,05368 1128,63008 888859 JPMorgan Asset Management (Europe) S.a.r.l. JPM Lux Funds - Emerging Markets Select Equity Fund USD 2005-12-30 7,958 7,948 142,18 142,18 1131,46844 1130,04664 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-03 1 1 14,21 14,21 14,21 14,21 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-04 1 1 14,34 14,34 14,34 14,34 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-05 1 1 14,19 14,19 14,19 14,19 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-07 1 1 14,24 14,24 14,24 14,24 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-10 1 1 14,37 14,37 14,37 14,37 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-11 1 1 14,26 14,26 14,26 14,26 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-12 1 1 14,04 14,04 14,04 14,04 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-13 1 1 14,06 14,06 14,06 14,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-14 1 1 14,07 14,07 14,07 14,07 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-17 1 1 14,16 14,16 14,16 14,16 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-18 1 1 14,08 14,08 14,08 14,08 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-19 1 1 14,19 14,19 14,19 14,19 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-20 1 1 14,06 14,06 14,06 14,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-21 1 1 14,03 14,03 14,03 14,03 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-24 1 1 13,87 13,87 13,87 13,87 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-25 1 1 14,07 14,07 14,07 14,07 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-26 1 1 14,12 14,12 14,12 14,12 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-27 1 1 14,18 14,18 14,18 14,18 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-28 1 1 14,17 14,17 14,17 14,17 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-01-31 1 1 14,23 14,23 14,23 14,23 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-01 1 1 14,26 14,26 14,26 14,26 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-02 1 1 14,41 14,41 14,41 14,41 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-03 1 1 14,42 14,42 14,42 14,42 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-04 1 1 14,59 14,59 14,59 14,59 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-07 1 1 14,78 14,78 14,78 14,78 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-08 1 1 14,8 14,8 14,8 14,8 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-09 1 1 14,81 14,81 14,81 14,81 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-10 1 1 14,61 14,61 14,61 14,61 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-11 1 1 14,7 14,7 14,7 14,7 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-14 1 1 14,78 14,78 14,78 14,78 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-15 1 1 14,84 14,84 14,84 14,84 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-16 1 1 14,66 14,66 14,66 14,66 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-17 1 1 14,66 14,66 14,66 14,66 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-18 1 1 14,6 14,6 14,6 14,6 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-21 1 1 14,67 14,67 14,67 14,67 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-22 1 1 14,59 14,59 14,59 14,59 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-23 1 1 14,63 14,63 14,63 14,63 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-24 1 1 14,71 14,71 14,71 14,71 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-25 1 1 14,8 14,8 14,8 14,8 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-02-28 1 1 14,84 14,84 14,84 14,84 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-01 1 1 14,9 14,9 14,9 14,9 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-02 1 1 14,91 14,91 14,91 14,91 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-03 1 1 15,06 15,06 15,06 15,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-04 1 1 15,11 15,11 15,11 15,11 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-07 1 1 15,09 15,09 15,09 15,09 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-08 1 1 14,99 14,99 14,99 14,99 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-09 1 1 14,96 14,96 14,96 14,96 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-10 1 1 14,89 14,89 14,89 14,89 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-11 1 1 14,94 14,94 14,94 14,94 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-14 1 1 14,93 14,93 14,93 14,93 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-15 1 1 15,04 15,04 15,04 15,04 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-16 1 1 14,91 14,91 14,91 14,91 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-17 1 1 14,83 14,83 14,83 14,83 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-18 1 1 14,87 14,87 14,87 14,87 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-21 1 1 14,79 14,79 14,79 14,79 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-22 1 1 14,55 14,55 14,55 14,55 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-23 1 1 14,51 14,51 14,51 14,51 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-24 1 1 14,59 14,59 14,59 14,59 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-29 1 1 14,54 14,54 14,54 14,54 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-30 1 1 14,45 14,45 14,45 14,45 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-03-31 1 1 14,57 14,57 14,57 14,57 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-01 1 1 14,66 14,66 14,66 14,66 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-04 1 1 14,57 14,57 14,57 14,57 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-05 1 1 14,73 14,73 14,73 14,73 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-06 1 1 14,84 14,84 14,84 14,84 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-07 1 1 14,87 14,87 14,87 14,87 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-08 1 1 14,9 14,9 14,9 14,9 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-11 1 1 14,93 14,93 14,93 14,93 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-12 1 1 14,89 14,89 14,89 14,89 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-13 1 1 15,02 15,02 15,02 15,02 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-14 1 1 15,11 15,11 15,11 15,11 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-15 1 1 14,86 14,86 14,86 14,86 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-18 1 1 14,69 14,69 14,69 14,69 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-19 1 1 14,78 14,78 14,78 14,78 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-20 1 1 14,79 14,79 14,79 14,79 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-21 1 1 14,78 14,78 14,78 14,78 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-22 1 1 14,94 14,94 14,94 14,94 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-25 1 1 14,88 14,88 14,88 14,88 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-26 1 1 14,73 14,73 14,73 14,73 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-27 1 1 14,46 14,46 14,46 14,46 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-28 1 1 14,34 14,34 14,34 14,34 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-04-29 1 1 14,33 14,33 14,33 14,33 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-02 1 1 14,47 14,47 14,47 14,47 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-03 1 1 14,48 14,48 14,48 14,48 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-04 1 1 14,51 14,51 14,51 14,51 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-06 1 1 14,69 14,69 14,69 14,69 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-09 1 1 14,73 14,73 14,73 14,73 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-10 1 1 14,6 14,6 14,6 14,6 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-11 1 1 14,6 14,6 14,6 14,6 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-12 1 1 14,71 14,71 14,71 14,71 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-13 1 1 14,77 14,77 14,77 14,77 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-16 1 1 14,78 14,78 14,78 14,78 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-17 1 1 14,82 14,82 14,82 14,82 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-18 1 1 14,96 14,96 14,96 14,96 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-19 1 1 14,99 14,99 14,99 14,99 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-20 1 1 14,99 14,99 14,99 14,99 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-23 1 1 15 15 15 15 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-24 1 1 14,99 14,99 14,99 14,99 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-25 1 1 15,03 15,03 15,03 15,03 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-26 1 1 15,11 15,11 15,11 15,11 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-27 1 1 15,14 15,14 15,14 15,14 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-30 1 1 15,18 15,18 15,18 15,18 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-05-31 1 1 15,21 15,21 15,21 15,21 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-01 1 1 15,21 15,21 15,21 15,21 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-02 1 1 15,1 15,1 15,1 15,1 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-03 1 1 15,03 15,03 15,03 15,03 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-07 1 1 15,1 15,1 15,1 15,1 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-08 1 1 15,22 15,22 15,22 15,22 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-09 1 1 15,21 15,21 15,21 15,21 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-10 1 1 15,27 15,27 15,27 15,27 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-13 1 1 15,27 15,27 15,27 15,27 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-14 1 1 15,42 15,42 15,42 15,42 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-15 1 1 15,37 15,37 15,37 15,37 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-16 1 1 15,4 15,4 15,4 15,4 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-17 1 1 15,46 15,46 15,46 15,46 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-20 1 1 15,42 15,42 15,42 15,42 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-21 1 1 15,51 15,51 15,51 15,51 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-22 1 1 15,61 15,61 15,61 15,61 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-23 1 1 15,69 15,69 15,69 15,69 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-27 1 1 15,42 15,42 15,42 15,42 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-28 1 1 15,5 15,5 15,5 15,5 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-29 1 1 15,59 15,59 15,59 15,59 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-06-30 1 1 15,65 15,65 15,65 15,65 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-01 1 1 15,69 15,69 15,69 15,69 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-04 1 1 15,78 15,78 15,78 15,78 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-05 1 1 15,78 15,78 15,78 15,78 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-06 1 1 15,82 15,82 15,82 15,82 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-07 1 1 15,53 15,53 15,53 15,53 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-08 1 1 15,75 15,75 15,75 15,75 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-11 1 1 16,01 16,01 16,01 16,01 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-12 1 1 16,04 16,04 16,04 16,04 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-13 1 1 16,1 16,1 16,1 16,1 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-14 1 1 16,1 16,1 16,1 16,1 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-15 1 1 16,05 16,05 16,05 16,05 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-18 1 1 16,07 16,07 16,07 16,07 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-19 1 1 16,07 16,07 16,07 16,07 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-20 1 1 15,98 15,98 15,98 15,98 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-21 1 1 15,96 15,96 15,96 15,96 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-22 1 1 16,06 16,06 16,06 16,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-25 1 1 15,96 15,96 15,96 15,96 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-26 1 1 16,04 16,04 16,04 16,04 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-27 1 1 16,06 16,06 16,06 16,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-28 1 1 16,15 16,15 16,15 16,15 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-07-29 1 1 16,17 16,17 16,17 16,17 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-01 1 1 16,15 16,15 16,15 16,15 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-02 1 1 16,26 16,26 16,26 16,26 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-03 1 1 16,23 16,23 16,23 16,23 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-04 1 1 16,13 16,13 16,13 16,13 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-05 1 1 16,07 16,07 16,07 16,07 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-08 1 1 16,07 16,07 16,07 16,07 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-09 1 1 16,06 16,06 16,06 16,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-10 1 1 16,25 16,25 16,25 16,25 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-11 1 1 16,21 16,21 16,21 16,21 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-12 1 1 16,09 16,09 16,09 16,09 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-15 1 1 16,08 16,08 16,08 16,08 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-16 1 1 16,11 16,11 16,11 16,11 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-17 1 1 16,06 16,06 16,06 16,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-18 1 1 16,06 16,06 16,06 16,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-19 1 1 16,16 16,16 16,16 16,16 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-22 1 1 16,18 16,18 16,18 16,18 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-23 1 1 16,09 16,09 16,09 16,09 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-24 1 1 15,86 15,86 15,86 15,86 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-25 1 1 15,73 15,73 15,73 15,73 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-26 1 1 15,62 15,62 15,62 15,62 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-29 1 1 15,66 15,66 15,66 15,66 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-30 1 1 15,69 15,69 15,69 15,69 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-08-31 1 1 15,72 15,72 15,72 15,72 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-01 1 1 15,86 15,86 15,86 15,86 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-02 1 1 15,82 15,82 15,82 15,82 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-05 1 1 15,88 15,88 15,88 15,88 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-06 1 1 16 16 16 16 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-07 1 1 16,03 16,03 16,03 16,03 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-08 1 1 16 16 16 16 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-09 1 1 16,09 16,09 16,09 16,09 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-12 1 1 16,16 16,16 16,16 16,16 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-13 1 1 16,14 16,14 16,14 16,14 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-14 1 1 16,23 16,23 16,23 16,23 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-15 1 1 16,14 16,14 16,14 16,14 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-16 1 1 16,2 16,2 16,2 16,2 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-19 1 1 16,2 16,2 16,2 16,2 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-20 1 1 16,18 16,18 16,18 16,18 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-21 1 1 16,05 16,05 16,05 16,05 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-22 1 1 16,03 16,03 16,03 16,03 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-23 1 1 16,06 16,06 16,06 16,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-26 1 1 16,24 16,24 16,24 16,24 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-27 1 1 16,28 16,28 16,28 16,28 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-28 1 1 16,38 16,38 16,38 16,38 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-29 1 1 16,4 16,4 16,4 16,4 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-09-30 1 1 16,5 16,5 16,5 16,5 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-03 1 1 16,58 16,58 16,58 16,58 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-04 1 1 16,56 16,56 16,56 16,56 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-05 1 1 16,44 16,44 16,44 16,44 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-06 1 1 16,32 16,32 16,32 16,32 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-07 1 1 16,33 16,33 16,33 16,33 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-10 1 1 16,37 16,37 16,37 16,37 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-11 1 1 16,39 16,39 16,39 16,39 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-12 1 1 16,24 16,24 16,24 16,24 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-13 1 1 16,04 16,04 16,04 16,04 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-14 1 1 16,04 16,04 16,04 16,04 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-17 1 1 16,06 16,06 16,06 16,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-18 1 1 15,92 15,92 15,92 15,92 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-19 1 1 15,72 15,72 15,72 15,72 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-20 1 1 15,77 15,77 15,77 15,77 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-21 1 1 15,66 15,66 15,66 15,66 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-24 1 1 15,82 15,82 15,82 15,82 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-25 1 1 15,91 15,91 15,91 15,91 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-26 1 1 15,98 15,98 15,98 15,98 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-27 1 1 15,83 15,83 15,83 15,83 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-28 1 1 15,75 15,75 15,75 15,75 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-10-31 1 1 16,1 16,1 16,1 16,1 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-01 1 1 16,14 16,14 16,14 16,14 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-02 1 1 16,16 16,16 16,16 16,16 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-03 1 1 16,36 16,36 16,36 16,36 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-04 1 1 16,35 16,35 16,35 16,35 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-07 1 1 16,43 16,43 16,43 16,43 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-08 1 1 16,42 16,42 16,42 16,42 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-09 1 1 16,45 16,45 16,45 16,45 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-10 1 1 16,43 16,43 16,43 16,43 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-11 1 1 16,6 16,6 16,6 16,6 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-14 1 1 16,66 16,66 16,66 16,66 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-15 1 1 16,62 16,62 16,62 16,62 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-16 1 1 16,62 16,62 16,62 16,62 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-17 1 1 16,68 16,68 16,68 16,68 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-18 1 1 16,78 16,78 16,78 16,78 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-21 1 1 16,77 16,77 16,77 16,77 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-22 1 1 16,75 16,75 16,75 16,75 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-23 1 1 16,79 16,79 16,79 16,79 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-24 1 1 16,76 16,76 16,76 16,76 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-25 1 1 16,83 16,83 16,83 16,83 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-28 1 1 16,88 16,88 16,88 16,88 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-29 1 1 16,87 16,87 16,87 16,87 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-11-30 1 1 16,71 16,71 16,71 16,71 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-01 1 1 16,88 16,88 16,88 16,88 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-02 1 1 17,02 17,02 17,02 17,02 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-05 1 1 16,97 16,97 16,97 16,97 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-06 1 1 17,05 17,05 17,05 17,05 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-07 1 1 17,05 17,05 17,05 17,05 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-08 1 1 17,06 17,06 17,06 17,06 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-12 1 1 17,13 17,13 17,13 17,13 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-13 1 1 17,09 17,09 17,09 17,09 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-14 1 1 17,07 17,07 17,07 17,07 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-15 1 1 17,05 17,05 17,05 17,05 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-16 1 1 17,17 17,17 17,17 17,17 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-19 1 1 17,23 17,23 17,23 17,23 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-20 1 1 17,21 17,21 17,21 17,21 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-21 1 1 17,31 17,31 17,31 17,31 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-22 1 1 17,36 17,36 17,36 17,36 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-23 1 1 17,53 17,53 17,53 17,53 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-27 1 1 17,6 17,6 17,6 17,6 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-28 1 1 17,59 17,59 17,59 17,59 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-29 1 1 17,64 17,64 17,64 17,64 218412 Kaupthing Fonder AB Kaupthing Bas SEK 2005-12-30 1 1 17,56 17,56 17,56 17,56 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-14 9,3675 9,3625 66,4 66,4 622,002 621,67 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-15 9,4055 9,4005 66,84 66,84 628,66362 628,32942 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-18 9,3895 9,3845 67 67 629,0965 628,7615 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-19 9,4425 9,4375 66,64 66,64 629,2482 628,915 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-20 9,4265 9,4215 67,14 67,14 632,89521 632,55951 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-21 9,4625 9,4575 67,13 67,13 635,217625 634,881975 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-22 9,4495 9,4445 66,48 66,48 628,20276 627,87036 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-25 9,4275 9,4225 66,4 66,4 625,986 625,654 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-26 9,4155 9,4105 66,4 66,4 625,1892 624,8572 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-27 9,4725 9,4675 66,58 66,58 630,67905 630,34615 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-28 9,4515 9,4465 67 67 633,2505 632,9155 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-07-29 9,3885 9,3835 67,21 67,21 631,001085 630,665035 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-01 9,3985 9,3935 66,77 66,77 627,537845 627,203995 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-02 9,3995 9,3945 66,64 66,64 626,38268 626,04948 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-03 9,3755 9,3705 67,18 67,18 629,84609 629,51019 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-04 9,3735 9,3685 66,78 66,78 625,96233 625,62843 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-05 9,3355 9,3305 65,92 65,92 615,39616 615,06656 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-08 9,3335 9,3285 65,57 65,57 611,997595 611,669745 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-09 9,3455 9,3405 65,45 65,45 611,662975 611,335725 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-10 9,3535 9,3485 66,14 66,14 618,64049 618,30979 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-11 9,3365 9,3315 66,3 66,3 619,00995 618,67845 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-12 9,3025 9,2975 66,58 66,58 619,36045 619,02755 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-16 9,2995 9,2945 66,58 66,58 619,16071 618,82781 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-17 9,3405 9,3355 66,24 66,24 618,71472 618,38352 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-18 9,3365 9,3315 66,38 66,38 619,75687 619,42497 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-19 9,3395 9,3345 66,56 66,56 621,63712 621,30432 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-22 9,3655 9,3605 66,75 66,75 625,147125 624,813375 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-23 9,3715 9,3665 66,58 66,58 623,95447 623,62157 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-24 9,3365 9,3315 66,25 66,25 618,543125 618,211875 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-25 9,3335 9,3285 65,7 65,7 613,21095 612,88245 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-26 9,3415 9,3365 65,53 65,53 612,148495 611,820845 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-29 9,3295 9,3245 65,05 65,05 606,883975 606,558725 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-30 9,3285 9,3235 65,47 65,47 610,736895 610,409545 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-08-31 9,3585 9,3535 65,53 65,53 613,262505 612,934855 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-01 9,3365 9,3315 65,58 65,58 612,28767 611,95977 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-02 9,3025 9,2975 65,26 65,26 607,08115 606,75485 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-05 9,2845 9,2795 64,98 64,98 603,30681 602,98191 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-06 9,3225 9,3175 65,24 65,24 608,1999 607,8737 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-07 9,3075 9,3025 66,2 66,2 616,1565 615,8255 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-08 9,3255 9,3205 66,67 66,67 621,731085 621,397735 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-09 9,3445 9,3395 66,77 66,77 623,932265 623,598415 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-12 9,3015 9,2965 67,2 67,2 625,0608 624,7248 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-13 9,3015 9,2965 67,73 67,73 629,990595 629,651945 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-14 9,3365 9,3315 67,31 67,31 628,439815 628,103265 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-15 9,3425 9,3375 67,11 67,11 626,975175 626,639625 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-16 9,3465 9,3415 67,38 67,38 629,76717 629,43027 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-19 9,3355 9,3305 67,61 67,61 631,173155 630,835105 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-20 9,3395 9,3345 67,8 67,8 633,2181 632,8791 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-21 9,3405 9,3355 67,56 67,56 631,04418 630,70638 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-22 9,3405 9,3355 66,79 66,79 623,851995 623,518045 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-23 9,3695 9,3645 67,19 67,19 629,536705 629,200755 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-26 9,3815 9,3765 67,41 67,41 632,406915 632,069865 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-27 9,3885 9,3835 68,18 68,18 640,10793 639,76703 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-28 9,3935 9,3885 67,88 67,88 637,63078 637,29138 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-29 9,3845 9,3795 68,43 68,43 642,181335 641,839185 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-09-30 9,3435 9,3385 68,98 68,98 644,51463 644,16973 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-03 9,3025 9,2975 68,68 68,68 638,8957 638,5523 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-04 9,3185 9,3135 69,46 69,46 647,26301 646,91571 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-05 9,3105 9,3055 68,99 68,99 642,331395 641,986445 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-06 9,3015 9,2965 68,1 68,1 633,43215 633,09165 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-07 9,3385 9,3335 66,51 66,51 621,103635 620,771085 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-10 9,3465 9,3415 66,76 66,76 623,97234 623,63854 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-11 9,3395 9,3345 66,96 66,96 625,37292 625,03812 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-12 9,3375 9,3325 67,4 67,4 629,3475 629,0105 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-13 9,3815 9,3765 66,58 66,58 624,62027 624,28737 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-14 9,4135 9,4085 66,93 66,93 630,045555 629,710905 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-17 9,4575 9,4525 66,52 66,52 629,1129 628,7803 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-18 9,4625 9,4575 66,48 66,48 629,067 628,7346 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-19 9,4605 9,4555 66,53 66,53 629,407065 629,074415 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-20 9,4935 9,4885 66,36 66,36 629,98866 629,65686 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-21 9,4915 9,4865 65,62 65,62 622,83223 622,50413 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-24 9,5455 9,5405 65,74 65,74 627,52117 627,19247 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-25 9,5465 9,5415 66,68 66,68 636,56062 636,22722 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-26 9,4975 9,4925 65,94 65,94 626,26515 625,93545 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-27 9,5355 9,5305 65,92 65,92 628,58016 628,25056 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-28 9,5135 9,5085 65,1 65,1 619,32885 619,00335 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-10-31 9,5495 9,5445 65,83 65,83 628,643585 628,314435 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-02 9,5855 9,5805 67,69 67,69 648,842495 648,504045 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-03 9,6515 9,6465 67,97 67,97 656,012455 655,672605 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-04 9,5875 9,5825 68,81 68,81 659,715875 659,371825 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-07 9,6075 9,6025 69,87 69,87 671,276025 670,926675 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-08 9,5685 9,5635 70,23 70,23 671,995755 671,644605 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-09 9,5575 9,5525 70,45 70,45 673,325875 672,973625 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-10 9,6105 9,6055 70,55 70,55 678,020775 677,668025 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-11 9,6365 9,6315 70,51 70,51 679,469615 679,117065 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-14 9,5505 9,5455 71,28 71,28 680,75964 680,40324 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-15 9,5805 9,5755 71 71 680,2155 679,8605 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-16 9,6235 9,6185 70,75 70,75 680,862625 680,508875 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-17 9,6355 9,6305 70,83 70,83 682,482465 682,128315 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-18 9,6085 9,6035 71,25 71,25 684,605625 684,249375 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-21 9,5915 9,5865 71,69 71,69 687,614635 687,256185 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-22 9,5585 9,5535 71,83 71,83 686,587055 686,227905 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-23 9,5155 9,5105 71,94 71,94 684,54507 684,18537 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-24 9,5125 9,5075 71,88 71,88 683,7585 683,3991 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-25 9,4965 9,4915 71,58 71,58 679,75947 679,40157 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-28 9,4835 9,4785 72 72 682,812 682,452 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-29 9,4785 9,4735 71,6 71,6 678,6606 678,3026 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-11-30 9,5295 9,5245 71,53 71,53 681,645135 681,287485 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-01 9,5165 9,5115 71,11 71,11 676,718315 676,362765 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-02 9,4905 9,4855 72,74 72,74 690,33897 689,97527 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-05 9,4065 9,4015 73,02 73,02 686,86263 686,49753 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-06 9,4185 9,4135 72,45 72,45 682,370325 682,008075 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-07 9,4255 9,4205 72,66 72,66 684,85683 684,49353 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-08 9,3965 9,3915 72,73 72,73 683,407445 683,043795 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-12 9,4315 9,4265 72,42 72,42 683,02923 682,66713 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-13 9,4295 9,4245 72,16 72,16 680,43272 680,07192 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-14 9,4365 9,4315 72,69 72,69 685,939185 685,575735 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-15 9,4345 9,4295 72,48 72,48 683,81256 683,45016 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-16 9,4765 9,4715 72,67 72,67 688,657255 688,293905 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-19 9,4535 9,4485 72,49 72,49 685,284215 684,921765 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-20 9,4015 9,3965 72,59 72,59 682,454885 682,091935 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-21 9,4485 9,4435 73,16 73,16 691,25226 690,88646 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-22 9,4365 9,4315 74,01 74,01 698,395365 698,025315 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-23 9,4425 9,4375 73,92 73,92 697,9896 697,62 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-27 9,4915 9,4865 74,26 74,26 704,83879 704,46749 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-28 9,4345 9,4295 73,75 73,75 695,794375 695,425625 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-29 9,4115 9,4065 73,78 73,78 694,38047 694,01157 206789 Kaupthing Bank Sverige AB Kaupthing Fund- Global Equities EUR 2005-12-30 9,4325 9,4275 74,17 74,17 699,608525 699,237675 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-14 9,3675 9,3625 64,92 64,92 608,1381 607,8135 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-15 9,4055 9,4005 64,68 64,68 608,34774 608,02434 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-18 9,3895 9,3845 64,64 64,64 606,93728 606,61408 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-19 9,4425 9,4375 64,58 64,58 609,79665 609,47375 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-20 9,4265 9,4215 64,86 64,86 611,40279 611,07849 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-21 9,4625 9,4575 64,84 64,84 613,5485 613,2243 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-22 9,4495 9,4445 64,83 64,83 612,611085 612,286935 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-25 9,4275 9,4225 65,12 65,12 613,9188 613,5932 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-26 9,4155 9,4105 65,75 65,75 619,069125 618,740375 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-27 9,4725 9,4675 65,6 65,6 621,396 621,068 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-28 9,4515 9,4465 66,45 66,45 628,052175 627,719925 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-07-29 9,3885 9,3835 67,01 67,01 629,123385 628,788335 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-01 9,3985 9,3935 67,25 67,25 632,049125 631,712875 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-02 9,3995 9,3945 68,05 68,05 639,635975 639,295725 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-03 9,3755 9,3705 68,52 68,52 642,40926 642,06666 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-04 9,3735 9,3685 68,91 68,91 645,927885 645,583335 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-05 9,3355 9,3305 68,82 68,82 642,46911 642,12501 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-08 9,3335 9,3285 68,81 68,81 642,238135 641,894085 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-09 9,3455 9,3405 68,86 68,86 643,53113 643,18683 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-10 9,3535 9,3485 69,06 69,06 645,95271 645,60741 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-11 9,3365 9,3315 69,52 69,52 649,07348 648,72588 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-12 9,3025 9,2975 70,66 70,66 657,31465 656,96135 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-16 9,2995 9,2945 70,66 70,66 657,10267 656,74937 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-17 9,3405 9,3355 70,2 70,2 655,7031 655,3521 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-18 9,3365 9,3315 69,82 69,82 651,87443 651,52533 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-19 9,3395 9,3345 69,63 69,63 650,309385 649,961235 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-22 9,3655 9,3605 69,89 69,89 654,554795 654,205345 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-23 9,3715 9,3665 70,62 70,62 661,81533 661,46223 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-24 9,3365 9,3315 70,13 70,13 654,768745 654,418095 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-25 9,3335 9,3285 69,74 69,74 650,91829 650,56959 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-26 9,3415 9,3365 69,42 69,42 648,48693 648,13983 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-29 9,3295 9,3245 69,76 69,76 650,82592 650,47712 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-30 9,3285 9,3235 70,12 70,12 654,11442 653,76382 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-08-31 9,3585 9,3535 70,31 70,31 657,996135 657,644585 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-01 9,3365 9,3315 70,93 70,93 662,237945 661,883295 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-02 9,3025 9,2975 72,48 72,48 674,2452 673,8828 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-05 9,2845 9,2795 72,4 72,4 672,1978 671,8358 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-06 9,3225 9,3175 72,3 72,3 674,01675 673,65525 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-07 9,3075 9,3025 72,66 72,66 676,28295 675,91965 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-08 9,3255 9,3205 73,12 73,12 681,88056 681,51496 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-09 9,3445 9,3395 72,87 72,87 680,933715 680,569365 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-12 9,3015 9,2965 73,12 73,12 680,12568 679,76008 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-13 9,3015 9,2965 73,51 73,51 683,753265 683,385715 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-14 9,3365 9,3315 72,85 72,85 680,164025 679,799775 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-15 9,3425 9,3375 73,35 73,35 685,272375 684,905625 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-16 9,3465 9,3415 73,47 73,47 686,687355 686,320005 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-19 9,3355 9,3305 73,89 73,89 689,800095 689,430645 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-20 9,3395 9,3345 74,59 74,59 696,633305 696,260355 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-21 9,3405 9,3355 74,55 74,55 696,334275 695,961525 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-22 9,3405 9,3355 74,2 74,2 693,0651 692,6941 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-23 9,3695 9,3645 74,36 74,36 696,71602 696,34422 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-26 9,3815 9,3765 74,5 74,5 698,92175 698,54925 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-27 9,3885 9,3835 74,57 74,57 700,100445 699,727595 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-28 9,3935 9,3885 74,71 74,71 701,788385 701,414835 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-29 9,3845 9,3795 74,74 74,74 701,39753 701,02383 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-09-30 9,3435 9,3385 74,94 74,94 700,20189 699,82719 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-03 9,3025 9,2975 75,43 75,43 701,687575 701,310425 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-04 9,3185 9,3135 76,2 76,2 710,0697 709,6887 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-05 9,3105 9,3055 76,09 76,09 708,435945 708,055495 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-06 9,3015 9,2965 75,65 75,65 703,658475 703,280225 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-07 9,3385 9,3335 73,59 73,59 687,220215 686,852265 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-10 9,3465 9,3415 73,4 73,4 686,0331 685,6661 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-11 9,3395 9,3345 72,68 72,68 678,79486 678,43146 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-12 9,3375 9,3325 73,01 73,01 681,730875 681,365825 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-13 9,3815 9,3765 72,7 72,7 682,03505 681,67155 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-14 9,4135 9,4085 70,99 70,99 668,264365 667,909415 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-17 9,4575 9,4525 69,86 69,86 660,70095 660,35165 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-18 9,4625 9,4575 70,16 70,16 663,889 663,5382 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-19 9,4605 9,4555 69,17 69,17 654,382785 654,036935 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-20 9,4935 9,4885 67,27 67,27 638,627745 638,291395 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-21 9,4915 9,4865 67,69 67,69 642,479635 642,141185 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-24 9,5455 9,5405 67,16 67,16 641,07578 640,73998 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-25 9,5465 9,5415 68,22 68,22 651,26223 650,92113 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-26 9,4975 9,4925 68,82 68,82 653,61795 653,27385 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-27 9,5355 9,5305 69,72 69,72 664,81506 664,46646 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-28 9,5135 9,5085 68,4 68,4 650,7234 650,3814 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-10-31 9,5495 9,5445 68,31 68,31 652,326345 651,984795 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-02 9,5855 9,5805 69,66 69,66 667,72593 667,37763 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-03 9,6515 9,6465 70,12 70,12 676,76318 676,41258 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-04 9,5875 9,5825 70,79 70,79 678,699125 678,345175 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-07 9,6075 9,6025 71,23 71,23 684,342225 683,986075 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-08 9,5685 9,5635 71,27 71,27 681,946995 681,590645 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-09 9,5575 9,5525 71,02 71,02 678,77365 678,41855 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-10 9,6105 9,6055 71,33 71,33 685,516965 685,160315 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-11 9,6365 9,6315 71,13 71,13 685,444245 685,088595 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-14 9,5505 9,5455 71,33 71,33 681,237165 680,880515 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-15 9,5805 9,5755 71,37 71,37 683,760285 683,403435 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-16 9,6235 9,6185 70,62 70,62 679,61157 679,25847 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-17 9,6355 9,6305 70,58 70,58 680,07359 679,72069 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-18 9,6085 9,6035 70,98 70,98 682,01133 681,65643 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-21 9,5915 9,5865 71,23 71,23 683,202545 682,846395 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-22 9,5585 9,5535 71,41 71,41 682,572485 682,215435 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-23 9,5155 9,5105 71,89 71,89 684,069295 683,709845 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-24 9,5125 9,5075 72,24 72,24 687,183 686,8218 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-25 9,4965 9,4915 72,12 72,12 684,88758 684,52698 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-28 9,4835 9,4785 72,87 72,87 691,062645 690,698295 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-29 9,4785 9,4735 72,8 72,8 690,0348 689,6708 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-11-30 9,5295 9,5245 72,46 72,46 690,50757 690,14527 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-01 9,5165 9,5115 72,43 72,43 689,280095 688,917945 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-02 9,4905 9,4855 73,62 73,62 698,69061 698,32251 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-05 9,4065 9,4015 74,99 74,99 705,393435 705,018485 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-06 9,4185 9,4135 75,31 75,31 709,307235 708,930685 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-07 9,4255 9,4205 75,74 75,74 713,88737 713,50867 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-08 9,3965 9,3915 75,93 75,93 713,476245 713,096595 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-12 9,4315 9,4265 76,12 76,12 717,92578 717,54518 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-13 9,4295 9,4245 75,81 75,81 714,850395 714,471345 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-14 9,4365 9,4315 76,55 76,55 722,364075 721,981325 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-15 9,4345 9,4295 76,16 76,16 718,53152 718,15072 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-16 9,4765 9,4715 76,08 76,08 720,97212 720,59172 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-19 9,4535 9,4485 76,18 76,18 720,16763 719,78673 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-20 9,4015 9,3965 75,89 75,89 713,479835 713,100385 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-21 9,4485 9,4435 76 76 718,086 717,706 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-22 9,4365 9,4315 76,52 76,52 722,08098 721,69838 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-23 9,4425 9,4375 76,68 76,68 724,0509 723,6675 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-27 9,4915 9,4865 77,59 77,59 736,445485 736,057535 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-28 9,4345 9,4295 77,93 77,93 735,230585 734,840935 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-29 9,4115 9,4065 78,07 78,07 734,755805 734,365455 170951 Kaupthing Bank Sverige AB Kaupthing Fund- Nordic Growth EUR 2005-12-30 9,4325 9,4275 78,82 78,82 743,46965 743,07555 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-03 1 1 138,26 138,26 138,26 138,26 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-04 1 1 139,63 139,63 139,63 139,63 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-05 1 1 141,19 141,19 141,19 141,19 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-07 1 1 139,71 139,71 139,71 139,71 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-10 1 1 139,73 139,73 139,73 139,73 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-11 1 1 141,36 141,36 141,36 141,36 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-12 1 1 139,92 139,92 139,92 139,92 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-13 1 1 137,87 137,87 137,87 137,87 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-14 1 1 138,6 138,6 138,6 138,6 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-17 1 1 139,19 139,19 139,19 139,19 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-18 1 1 140,24 140,24 140,24 140,24 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-19 1 1 139,57 139,57 139,57 139,57 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-20 1 1 139,96 139,96 139,96 139,96 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-21 1 1 137,85 137,85 137,85 137,85 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-24 1 1 137,65 137,65 137,65 137,65 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-25 1 1 136,07 136,07 136,07 136,07 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-26 1 1 137,61 137,61 137,61 137,61 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-27 1 1 138,33 138,33 138,33 138,33 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-28 1 1 140,51 140,51 140,51 140,51 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-01-31 1 1 139,58 139,58 139,58 139,58 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-01 1 1 140,64 140,64 140,64 140,64 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-02 1 1 141,73 141,73 141,73 141,73 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-03 1 1 143,5 143,5 143,5 143,5 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-04 1 1 143,32 143,32 143,32 143,32 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-07 1 1 144,83 144,83 144,83 144,83 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-08 1 1 146,79 146,79 146,79 146,79 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-09 1 1 147,29 147,29 147,29 147,29 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-10 1 1 148,97 148,97 148,97 148,97 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-11 1 1 146,35 146,35 146,35 146,35 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-14 1 1 147,95 147,95 147,95 147,95 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-15 1 1 147,97 147,97 147,97 147,97 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-16 1 1 148,88 148,88 148,88 148,88 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-17 1 1 148,62 148,62 148,62 148,62 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-18 1 1 148,49 148,49 148,49 148,49 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-21 1 1 147,14 147,14 147,14 147,14 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-22 1 1 148,42 148,42 148,42 148,42 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-23 1 1 148,26 148,26 148,26 148,26 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-24 1 1 148,14 148,14 148,14 148,14 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-25 1 1 149,57 149,57 149,57 149,57 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-02-28 1 1 151,72 151,72 151,72 151,72 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-01 1 1 150,76 150,76 150,76 150,76 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-02 1 1 150,76 150,76 150,76 150,76 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-03 1 1 151,97 151,97 151,97 151,97 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-04 1 1 153,94 153,94 153,94 153,94 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-07 1 1 155,85 155,85 155,85 155,85 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-08 1 1 155,44 155,44 155,44 155,44 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-09 1 1 153,37 153,37 153,37 153,37 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-10 1 1 153,13 153,13 153,13 153,13 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-11 1 1 151,09 151,09 151,09 151,09 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-14 1 1 152,07 152,07 152,07 152,07 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-15 1 1 152,07 152,07 152,07 152,07 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-16 1 1 153,2 153,2 153,2 153,2 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-17 1 1 150,9 150,9 150,9 150,9 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-18 1 1 151,26 151,26 151,26 151,26 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-21 1 1 150,92 150,92 150,92 150,92 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-22 1 1 149,37 149,37 149,37 149,37 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-23 1 1 149,76 149,76 149,76 149,76 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-24 1 1 148,83 148,83 148,83 148,83 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-29 1 1 149,15 149,15 149,15 149,15 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-30 1 1 148,93 148,93 148,93 148,93 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-03-31 1 1 147,77 147,77 147,77 147,77 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-01 1 1 148,14 148,14 148,14 148,14 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-04 1 1 149,49 149,49 149,49 149,49 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-05 1 1 148,77 148,77 148,77 148,77 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-06 1 1 150,77 150,77 150,77 150,77 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-07 1 1 151,97 151,97 151,97 151,97 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-08 1 1 151,7 151,7 151,7 151,7 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-11 1 1 152,42 152,42 152,42 152,42 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-12 1 1 152,7 152,7 152,7 152,7 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-13 1 1 151,8 151,8 151,8 151,8 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-14 1 1 153,47 153,47 153,47 153,47 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-15 1 1 155,5 155,5 155,5 155,5 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-18 1 1 152,17 152,17 152,17 152,17 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-19 1 1 149,06 149,06 149,06 149,06 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-20 1 1 149,3 149,3 149,3 149,3 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-21 1 1 149,04 149,04 149,04 149,04 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-22 1 1 149,29 149,29 149,29 149,29 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-25 1 1 150,93 150,93 150,93 150,93 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-26 1 1 150,21 150,21 150,21 150,21 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-27 1 1 148,87 148,87 148,87 148,87 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-28 1 1 146,41 146,41 146,41 146,41 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-04-29 1 1 145,5 145,5 145,5 145,5 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-02 1 1 146,05 146,05 146,05 146,05 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-03 1 1 147,64 147,64 147,64 147,64 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-04 1 1 147,87 147,87 147,87 147,87 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-06 1 1 147,36 147,36 147,36 147,36 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-09 1 1 148,78 148,78 148,78 148,78 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-10 1 1 148,86 148,86 148,86 148,86 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-11 1 1 147,33 147,33 147,33 147,33 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-12 1 1 145,97 145,97 145,97 145,97 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-13 1 1 148 148 148 148 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-17 1 1 150,37 150,37 150,37 150,37 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-18 1 1 151,01 151,01 151,01 151,01 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-19 1 1 152,22 152,22 152,22 152,22 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-20 1 1 153,04 153,04 153,04 153,04 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-23 1 1 152,13 152,13 152,13 152,13 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-24 1 1 152,51 152,51 152,51 152,51 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-25 1 1 152,27 152,27 152,27 152,27 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-26 1 1 151,61 151,61 151,61 151,61 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-27 1 1 154,17 154,17 154,17 154,17 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-30 1 1 154,07 154,07 154,07 154,07 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-05-31 1 1 154,78 154,78 154,78 154,78 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-01 1 1 154,43 154,43 154,43 154,43 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-02 1 1 154,39 154,39 154,39 154,39 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-03 1 1 155 155 155 155 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-07 1 1 154,62 154,62 154,62 154,62 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-08 1 1 155,46 155,46 155,46 155,46 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-09 1 1 157,08 157,08 157,08 157,08 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-10 1 1 157,05 157,05 157,05 157,05 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-13 1 1 158,49 158,49 158,49 158,49 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-14 1 1 159,1 159,1 159,1 159,1 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-15 1 1 160,12 160,12 160,12 160,12 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-16 1 1 158,92 158,92 158,92 158,92 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-17 1 1 159,7 159,7 159,7 159,7 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-20 1 1 159,4 159,4 159,4 159,4 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-21 1 1 159,7 159,7 159,7 159,7 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-22 1 1 161,24 161,24 161,24 161,24 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-27 1 1 163,9 163,9 163,9 163,9 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-28 1 1 158,89 158,89 158,89 158,89 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-29 1 1 159,79 159,79 159,79 159,79 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-06-30 1 1 161,25 161,25 161,25 161,25 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-01 1 1 161,74 161,74 161,74 161,74 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-04 1 1 163,69 163,69 163,69 163,69 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-05 1 1 163,82 163,82 163,82 163,82 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-06 1 1 163,64 163,64 163,64 163,64 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-07 1 1 163,91 163,91 163,91 163,91 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-08 1 1 160,92 160,92 160,92 160,92 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-11 1 1 164,04 164,04 164,04 164,04 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-12 1 1 168,1 168,1 168,1 168,1 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-13 1 1 167,68 167,68 167,68 167,68 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-14 1 1 168,93 168,93 168,93 168,93 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-15 1 1 168,83 168,83 168,83 168,83 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-18 1 1 168,41 168,41 168,41 168,41 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-19 1 1 168,2 168,2 168,2 168,2 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-20 1 1 168,23 168,23 168,23 168,23 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-21 1 1 166,98 166,98 166,98 166,98 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-22 1 1 167,29 167,29 167,29 167,29 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-25 1 1 167,4 167,4 167,4 167,4 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-26 1 1 167,38 167,38 167,38 167,38 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-27 1 1 168,59 168,59 168,59 168,59 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-28 1 1 169,71 169,71 169,71 169,71 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-07-29 1 1 171,24 171,24 171,24 171,24 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-01 1 1 171,73 171,73 171,73 171,73 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-02 1 1 171,47 171,47 171,47 171,47 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-03 1 1 174,08 174,08 174,08 174,08 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-04 1 1 174,06 174,06 174,06 174,06 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-05 1 1 172,82 172,82 172,82 172,82 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-08 1 1 172,51 172,51 172,51 172,51 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-09 1 1 172,33 172,33 172,33 172,33 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-10 1 1 172,94 172,94 172,94 172,94 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-11 1 1 175 175 175 175 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-12 1 1 173,76 173,76 173,76 173,76 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-16 1 1 173,76 173,76 173,76 173,76 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-17 1 1 173,92 173,92 173,92 173,92 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-18 1 1 174,04 174,04 174,04 174,04 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-19 1 1 173,79 173,79 173,79 173,79 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-22 1 1 174,77 174,77 174,77 174,77 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-23 1 1 175,85 175,85 175,85 175,85 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-24 1 1 174,53 174,53 174,53 174,53 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-25 1 1 172,45 172,45 172,45 172,45 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-26 1 1 170,19 170,19 170,19 170,19 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-29 1 1 169,46 169,46 169,46 169,46 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-30 1 1 170,51 170,51 170,51 170,51 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-08-31 1 1 170,46 170,46 170,46 170,46 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-01 1 1 171,44 171,44 171,44 171,44 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-02 1 1 172,22 172,22 172,22 172,22 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-05 1 1 171,86 171,86 171,86 171,86 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-06 1 1 173,52 173,52 173,52 173,52 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-07 1 1 175,94 175,94 175,94 175,94 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-08 1 1 177,76 177,76 177,76 177,76 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-09 1 1 177,97 177,97 177,97 177,97 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-12 1 1 178,75 178,75 178,75 178,75 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-13 1 1 178,81 178,81 178,81 178,81 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-14 1 1 178,52 178,52 178,52 178,52 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-15 1 1 180,17 180,17 180,17 180,17 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-16 1 1 179,41 179,41 179,41 179,41 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-19 1 1 180,18 180,18 180,18 180,18 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-20 1 1 180,47 180,47 180,47 180,47 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-21 1 1 180,12 180,12 180,12 180,12 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-22 1 1 177,89 177,89 177,89 177,89 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-23 1 1 178,2 178,2 178,2 178,2 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-26 1 1 178,71 178,71 178,71 178,71 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-27 1 1 181,83 181,83 181,83 181,83 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-28 1 1 182,03 182,03 182,03 182,03 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-29 1 1 183,81 183,81 183,81 183,81 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-09-30 1 1 182,87 182,87 182,87 182,87 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-03 1 1 183,85 183,85 183,85 183,85 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-04 1 1 186,12 186,12 186,12 186,12 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-05 1 1 186,54 186,54 186,54 186,54 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-06 1 1 186,61 186,61 186,61 186,61 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-07 1 1 184 184 184 184 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-10 1 1 183,88 183,88 183,88 183,88 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-11 1 1 184,69 184,69 184,69 184,69 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-12 1 1 185,11 185,11 185,11 185,11 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-13 1 1 183,44 183,44 183,44 183,44 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-14 1 1 181,71 181,71 181,71 181,71 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-17 1 1 181,44 181,44 181,44 181,44 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-18 1 1 180,99 180,99 180,99 180,99 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-19 1 1 180,38 180,38 180,38 180,38 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-20 1 1 177,07 177,07 177,07 177,07 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-21 1 1 177 177 177 177 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-24 1 1 175,84 175,84 175,84 175,84 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-25 1 1 179,05 179,05 179,05 179,05 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-26 1 1 180,64 180,64 180,64 180,64 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-27 1 1 181,14 181,14 181,14 181,14 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-28 1 1 178,19 178,19 178,19 178,19 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-10-31 1 1 178,96 178,96 178,96 178,96 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-02 1 1 183,78 183,78 183,78 183,78 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-03 1 1 184,93 184,93 184,93 184,93 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-04 1 1 187,22 187,22 187,22 187,22 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-07 1 1 187 187 187 187 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-08 1 1 188,74 188,74 188,74 188,74 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-09 1 1 187,7 187,7 187,7 187,7 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-10 1 1 188,42 188,42 188,42 188,42 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-11 1 1 188,7 188,7 188,7 188,7 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-14 1 1 191,44 191,44 191,44 191,44 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-15 1 1 191,51 191,51 191,51 191,51 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-16 1 1 190,83 190,83 190,83 190,83 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-17 1 1 192,39 192,39 192,39 192,39 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-18 1 1 191,35 191,35 191,35 191,35 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-21 1 1 192,29 192,29 192,29 192,29 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-22 1 1 193,34 193,34 193,34 193,34 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-23 1 1 193 193 193 193 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-24 1 1 194,57 194,57 194,57 194,57 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-25 1 1 193,55 193,55 193,55 193,55 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-28 1 1 194,37 194,37 194,37 194,37 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-29 1 1 193,74 193,74 193,74 193,74 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-11-30 1 1 193,65 193,65 193,65 193,65 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-01 1 1 192,81 192,81 192,81 192,81 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-02 1 1 195,47 195,47 195,47 195,47 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-05 1 1 197 197 197 197 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-06 1 1 196,57 196,57 196,57 196,57 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-07 1 1 197,7 197,7 197,7 197,7 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-08 1 1 197,71 197,71 197,71 197,71 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-12 1 1 198,82 198,82 198,82 198,82 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-13 1 1 198,22 198,22 198,22 198,22 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-14 1 1 199,59 199,59 199,59 199,59 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-15 1 1 198,1 198,1 198,1 198,1 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-16 1 1 198,42 198,42 198,42 198,42 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-19 1 1 200,22 200,22 200,22 200,22 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-20 1 1 200,74 200,74 200,74 200,74 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-21 1 1 200,36 200,36 200,36 200,36 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-22 1 1 201,61 201,61 201,61 201,61 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-23 1 1 201,54 201,54 201,54 201,54 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-27 1 1 202,81 202,81 202,81 202,81 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-28 1 1 203,95 203,95 203,95 203,95 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-29 1 1 203,74 203,74 203,74 203,74 524470 Kaupthing Bank Sverige AB Kaupthing Fund- Swedish Growth SEK 2005-12-30 1 1 205,31 205,31 205,31 205,31 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-03 1 1 90,65 90,65 90,65 90,65 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-04 1 1 90,76 90,76 90,76 90,76 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-05 1 1 88,78 88,78 88,78 88,78 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-07 1 1 87,54 87,54 87,54 87,54 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-10 1 1 88,59 88,59 88,59 88,59 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-11 1 1 87,51 87,51 87,51 87,51 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-12 1 1 87,44 87,44 87,44 87,44 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-13 1 1 87,75 87,75 87,75 87,75 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-14 1 1 87,67 87,67 87,67 87,67 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-17 1 1 89,09 89,09 89,09 89,09 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-18 1 1 90,2 90,2 90,2 90,2 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-19 1 1 90,53 90,53 90,53 90,53 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-20 1 1 90,45 90,45 90,45 90,45 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-21 1 1 89,42 89,42 89,42 89,42 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-24 1 1 89,07 89,07 89,07 89,07 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-25 1 1 90,81 90,81 90,81 90,81 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-26 1 1 91,39 91,39 91,39 91,39 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-27 1 1 91,51 91,51 91,51 91,51 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-28 1 1 92,04 92,04 92,04 92,04 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-01-31 1 1 92,65 92,65 92,65 92,65 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-01 1 1 91,61 91,61 91,61 91,61 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-02 1 1 91,51 91,51 91,51 91,51 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-03 1 1 91,72 91,72 91,72 91,72 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-04 1 1 92,68 92,68 92,68 92,68 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-07 1 1 95,4 95,4 95,4 95,4 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-08 1 1 96,52 96,52 96,52 96,52 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-09 1 1 96,18 96,18 96,18 96,18 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-10 1 1 95,56 95,56 95,56 95,56 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-11 1 1 95,56 95,56 95,56 95,56 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-14 1 1 95,7 95,7 95,7 95,7 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-15 1 1 95,28 95,28 95,28 95,28 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-16 1 1 95,06 95,06 95,06 95,06 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-17 1 1 94,76 94,76 94,76 94,76 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-18 1 1 95,14 95,14 95,14 95,14 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-21 1 1 95,89 95,89 95,89 95,89 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-22 1 1 94,43 94,43 94,43 94,43 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-23 1 1 93,94 93,94 93,94 93,94 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-24 1 1 94,05 94,05 94,05 94,05 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-25 1 1 95,7 95,7 95,7 95,7 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-02-28 1 1 96,31 96,31 96,31 96,31 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-01 1 1 96,42 96,42 96,42 96,42 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-02 1 1 94,98 94,98 94,98 94,98 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-03 1 1 95,36 95,36 95,36 95,36 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-04 1 1 93,63 93,63 93,63 93,63 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-07 1 1 94,08 94,08 94,08 94,08 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-08 1 1 94,76 94,76 94,76 94,76 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-09 1 1 94,72 94,72 94,72 94,72 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-10 1 1 94,01 94,01 94,01 94,01 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-11 1 1 93,27 93,27 93,27 93,27 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-14 1 1 93,95 93,95 93,95 93,95 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-15 1 1 93,31 93,31 93,31 93,31 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-16 1 1 93,36 93,36 93,36 93,36 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-17 1 1 93,76 93,76 93,76 93,76 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-18 1 1 94,65 94,65 94,65 94,65 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-21 1 1 95,78 95,78 95,78 95,78 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-22 1 1 92,39 92,39 92,39 92,39 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-23 1 1 92,08 92,08 92,08 92,08 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-24 1 1 91,9 91,9 91,9 91,9 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-29 1 1 91,74 91,74 91,74 91,74 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-30 1 1 90,98 90,98 90,98 90,98 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-03-31 1 1 91,66 91,66 91,66 91,66 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-01 1 1 92,62 92,62 92,62 92,62 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-04 1 1 93,65 93,65 93,65 93,65 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-05 1 1 93,64 93,64 93,64 93,64 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-06 1 1 93,7 93,7 93,7 93,7 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-07 1 1 93,21 93,21 93,21 93,21 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-08 1 1 94,93 94,93 94,93 94,93 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-11 1 1 93,41 93,41 93,41 93,41 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-12 1 1 93,64 93,64 93,64 93,64 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-13 1 1 94,2 94,2 94,2 94,2 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-14 1 1 94,51 94,51 94,51 94,51 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-15 1 1 92,18 92,18 92,18 92,18 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-18 1 1 88,88 88,88 88,88 88,88 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-19 1 1 89,76 89,76 89,76 89,76 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-20 1 1 89,6 89,6 89,6 89,6 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-21 1 1 89,71 89,71 89,71 89,71 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-22 1 1 90,97 90,97 90,97 90,97 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-25 1 1 91,39 91,39 91,39 91,39 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-26 1 1 92,3 92,3 92,3 92,3 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-27 1 1 91,58 91,58 91,58 91,58 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-28 1 1 92,33 92,33 92,33 92,33 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-04-29 1 1 91,83 91,83 91,83 91,83 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-02 1 1 92,7 92,7 92,7 92,7 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-03 1 1 92,57 92,57 92,57 92,57 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-04 1 1 91,81 91,81 91,81 91,81 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-06 1 1 93,31 93,31 93,31 93,31 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-09 1 1 93,74 93,74 93,74 93,74 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-10 1 1 93,48 93,48 93,48 93,48 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-11 1 1 93,47 93,47 93,47 93,47 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-12 1 1 94,11 94,11 94,11 94,11 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-13 1 1 93,68 93,68 93,68 93,68 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-16 1 1 93,75 93,75 93,75 93,75 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-17 1 1 91,82 91,82 91,82 91,82 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-18 1 1 91,72 91,72 91,72 91,72 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-19 1 1 92,65 92,65 92,65 92,65 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-20 1 1 93,31 93,31 93,31 93,31 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-23 1 1 92,67 92,67 92,67 92,67 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-24 1 1 92,7 92,7 92,7 92,7 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-25 1 1 91,37 91,37 91,37 91,37 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-26 1 1 91,89 91,89 91,89 91,89 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-27 1 1 93,2 93,2 93,2 93,2 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-30 1 1 94,38 94,38 94,38 94,38 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-05-31 1 1 95,19 95,19 95,19 95,19 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-01 1 1 95,09 95,09 95,09 95,09 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-02 1 1 94,74 94,74 94,74 94,74 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-03 1 1 94,77 94,77 94,77 94,77 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-07 1 1 96,29 96,29 96,29 96,29 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-08 1 1 97,26 97,26 97,26 97,26 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-09 1 1 97,67 97,67 97,67 97,67 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-10 1 1 99,47 99,47 99,47 99,47 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-13 1 1 100,52 100,52 100,52 100,52 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-14 1 1 99,64 99,64 99,64 99,64 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-15 1 1 99,53 99,53 99,53 99,53 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-16 1 1 99,83 99,83 99,83 99,83 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-17 1 1 98,34 98,34 98,34 98,34 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-20 1 1 99,44 99,44 99,44 99,44 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-21 1 1 99,91 99,91 99,91 99,91 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-22 1 1 101,75 101,75 101,75 101,75 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-23 1 1 103,4 103,4 103,4 103,4 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-27 1 1 102,42 102,42 102,42 102,42 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-28 1 1 104,65 104,65 104,65 104,65 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-29 1 1 105,56 105,56 105,56 105,56 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-06-30 1 1 105,02 105,02 105,02 105,02 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-01 1 1 105,67 105,67 105,67 105,67 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-04 1 1 106,79 106,79 106,79 106,79 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-05 1 1 106,02 106,02 106,02 106,02 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-06 1 1 106,02 106,02 106,02 106,02 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-07 1 1 104,69 104,69 104,69 104,69 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-08 1 1 103,94 103,94 103,94 103,94 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-11 1 1 105 105 105 105 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-12 1 1 103,27 103,27 103,27 103,27 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-13 1 1 104,59 104,59 104,59 104,59 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-14 1 1 105,1 105,1 105,1 105,1 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-15 1 1 105,22 105,22 105,22 105,22 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-18 1 1 105,3 105,3 105,3 105,3 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-19 1 1 106,44 106,44 106,44 106,44 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-20 1 1 107,27 107,27 107,27 107,27 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-21 1 1 108,16 108,16 108,16 108,16 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-22 1 1 109,11 109,11 109,11 109,11 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-25 1 1 109,97 109,97 109,97 109,97 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-26 1 1 110,89 110,89 110,89 110,89 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-27 1 1 111,22 111,22 111,22 111,22 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-28 1 1 110,51 110,51 110,51 110,51 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-07-29 1 1 111,25 111,25 111,25 111,25 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-01 1 1 111,21 111,21 111,21 111,21 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-02 1 1 112,62 112,62 112,62 112,62 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-03 1 1 111,34 111,34 111,34 111,34 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-04 1 1 110,25 110,25 110,25 110,25 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-05 1 1 109,97 109,97 109,97 109,97 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-08 1 1 110,62 110,62 110,62 110,62 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-09 1 1 110,55 110,55 110,55 110,55 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-10 1 1 112,44 112,44 112,44 112,44 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-11 1 1 112,23 112,23 112,23 112,23 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-12 1 1 112,52 112,52 112,52 112,52 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-15 1 1 113,72 113,72 113,72 113,72 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-16 1 1 113,63 113,63 113,63 113,63 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-17 1 1 113,31 113,31 113,31 113,31 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-18 1 1 111,35 111,35 111,35 111,35 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-19 1 1 110,57 110,57 110,57 110,57 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-22 1 1 111,44 111,44 111,44 111,44 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-23 1 1 109,86 109,86 109,86 109,86 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-24 1 1 107,89 107,89 107,89 107,89 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-25 1 1 107,96 107,96 107,96 107,96 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-26 1 1 108,68 108,68 108,68 108,68 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-29 1 1 108,09 108,09 108,09 108,09 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-30 1 1 109,2 109,2 109,2 109,2 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-08-31 1 1 107,9 107,9 107,9 107,9 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-01 1 1 107,79 107,79 107,79 107,79 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-02 1 1 106,67 106,67 106,67 106,67 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-05 1 1 106,38 106,38 106,38 106,38 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-06 1 1 107,15 107,15 107,15 107,15 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-07 1 1 107,69 107,69 107,69 107,69 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-08 1 1 107,04 107,04 107,04 107,04 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-09 1 1 106,99 106,99 106,99 106,99 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-12 1 1 108,35 108,35 108,35 108,35 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-13 1 1 107,8 107,8 107,8 107,8 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-14 1 1 107,29 107,29 107,29 107,29 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-15 1 1 108,15 108,15 108,15 108,15 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-16 1 1 108,58 108,58 108,58 108,58 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-19 1 1 109,19 109,19 109,19 109,19 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-20 1 1 111,09 111,09 111,09 111,09 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-21 1 1 110,38 110,38 110,38 110,38 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-22 1 1 110,6 110,6 110,6 110,6 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-23 1 1 110,85 110,85 110,85 110,85 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-26 1 1 111,44 111,44 111,44 111,44 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-27 1 1 111,68 111,68 111,68 111,68 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-28 1 1 111,6 111,6 111,6 111,6 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-29 1 1 114,5 114,5 114,5 114,5 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-09-30 1 1 114,75 114,75 114,75 114,75 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-03 1 1 115,82 115,82 115,82 115,82 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-04 1 1 115,58 115,58 115,58 115,58 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-05 1 1 113,25 113,25 113,25 113,25 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-06 1 1 109,08 109,08 109,08 109,08 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-07 1 1 109,17 109,17 109,17 109,17 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-10 1 1 110,79 110,79 110,79 110,79 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-11 1 1 111,17 111,17 111,17 111,17 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-12 1 1 108,64 108,64 108,64 108,64 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-13 1 1 110,37 110,37 110,37 110,37 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-14 1 1 107,87 107,87 107,87 107,87 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-17 1 1 108,67 108,67 108,67 108,67 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-18 1 1 110,16 110,16 110,16 110,16 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-19 1 1 107,24 107,24 107,24 107,24 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-20 1 1 107,2 107,2 107,2 107,2 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-21 1 1 106,81 106,81 106,81 106,81 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-24 1 1 106,55 106,55 106,55 106,55 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-25 1 1 105,43 105,43 105,43 105,43 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-26 1 1 105,39 105,39 105,39 105,39 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-27 1 1 104,04 104,04 104,04 104,04 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-28 1 1 102,86 102,86 102,86 102,86 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-10-31 1 1 105,8 105,8 105,8 105,8 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-01 1 1 108,22 108,22 108,22 108,22 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-02 1 1 109,05 109,05 109,05 109,05 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-03 1 1 109,68 109,68 109,68 109,68 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-04 1 1 110,22 110,22 110,22 110,22 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-07 1 1 110,31 110,31 110,31 110,31 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-08 1 1 109,81 109,81 109,81 109,81 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-09 1 1 111,92 111,92 111,92 111,92 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-10 1 1 113,01 113,01 113,01 113,01 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-11 1 1 112,94 112,94 112,94 112,94 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-14 1 1 112,37 112,37 112,37 112,37 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-15 1 1 113,76 113,76 113,76 113,76 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-16 1 1 114,04 114,04 114,04 114,04 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-17 1 1 114,62 114,62 114,62 114,62 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-18 1 1 115,16 115,16 115,16 115,16 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-21 1 1 114,42 114,42 114,42 114,42 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-22 1 1 114,88 114,88 114,88 114,88 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-23 1 1 115 115 115 115 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-24 1 1 114,9 114,9 114,9 114,9 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-25 1 1 114,89 114,89 114,89 114,89 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-28 1 1 115,21 115,21 115,21 115,21 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-29 1 1 114,6 114,6 114,6 114,6 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-11-30 1 1 114,5 114,5 114,5 114,5 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-01 1 1 115,93 115,93 115,93 115,93 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-02 1 1 116,45 116,45 116,45 116,45 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-05 1 1 115,83 115,83 115,83 115,83 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-06 1 1 114,01 114,01 114,01 114,01 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-07 1 1 116,66 116,66 116,66 116,66 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-08 1 1 115,35 115,35 115,35 115,35 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-12 1 1 114,51 114,51 114,51 114,51 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-13 1 1 114,76 114,76 114,76 114,76 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-14 1 1 113,72 113,72 113,72 113,72 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-15 1 1 115,01 115,01 115,01 115,01 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-16 1 1 114,27 114,27 114,27 114,27 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-19 1 1 115,43 115,43 115,43 115,43 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-20 1 1 116,25 116,25 116,25 116,25 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-21 1 1 117,79 117,79 117,79 117,79 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-22 1 1 117,27 117,27 117,27 117,27 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-23 1 1 117,87 117,87 117,87 117,87 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-27 1 1 117,87 117,87 117,87 117,87 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-28 1 1 116,2 116,2 116,2 116,2 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-29 1 1 117,16 117,16 117,16 117,16 688457 Kaupthing Fonder AB Kaupthing Kina SEK 2005-12-30 1 1 116,31 116,31 116,31 116,31 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-07 7,43 7,42 1,623 1,623 12,05889 12,04266 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-08 7,498 7,488 1,599 1,599 11,989302 11,973312 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-09 7,523 7,513 1,612 1,612 12,127076 12,110956 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-12 7,555 7,545 1,632 1,632 12,32976 12,31344 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-13 7,57 7,56 1,626 1,626 12,30882 12,29256 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-14 7,61 7,6 1,633 1,633 12,42713 12,4108 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-15 7,658 7,648 1,645 1,645 12,59741 12,58096 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-16 7,613 7,603 1,641 1,641 12,492933 12,476523 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-19 7,698 7,688 1,637 1,637 12,601626 12,585256 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-20 7,688 7,678 1,662 1,662 12,777456 12,760836 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-21 7,663 7,653 1,667 1,667 12,774221 12,757551 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-22 7,648 7,638 1,661 1,661 12,703328 12,686718 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-23 7,733 7,723 1,655 1,655 12,798115 12,781565 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-26 7,798 7,788 1,683 1,683 13,124034 13,107204 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-27 7,825 7,815 1,671 1,671 13,075575 13,058865 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-28 7,81 7,8 1,692 1,692 13,21452 13,1976 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-29 7,785 7,775 1,72 1,72 13,3902 13,373 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-09-30 7,785 7,775 1,709 1,709 13,304565 13,287475 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-03 7,783 7,773 1,7 1,7 13,2311 13,2141 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-04 7,82 7,81 1,706 1,706 13,34092 13,32386 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-05 7,795 7,785 1,688 1,688 13,15796 13,14108 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-06 7,713 7,703 1,662 1,662 12,819006 12,802386 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-07 7,683 7,673 1,653 1,653 12,699999 12,683469 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-10 7,698 7,688 1,652 1,652 12,717096 12,700576 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-11 7,77 7,76 1,678 1,678 13,03806 13,02128 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-12 7,805 7,795 1,676 1,676 13,08118 13,06442 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-13 7,83 7,82 1,665 1,665 13,03695 13,0203 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-14 7,833 7,823 1,662 1,662 13,018446 13,001826 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-17 7,835 7,825 1,648 1,648 12,91208 12,8956 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-18 7,893 7,883 1,637 1,637 12,920841 12,904471 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-19 7,96 7,95 1,623 1,623 12,91908 12,90285 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-20 7,93 7,92 1,627 1,627 12,90211 12,88584 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-21 7,883 7,873 1,626 1,626 12,817758 12,801498 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-24 7,995 7,985 1,62 1,62 12,9519 12,9357 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-25 7,99 7,98 1,638 1,638 13,08762 13,07124 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-26 7,868 7,858 1,649 1,649 12,974332 12,957842 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-27 7,868 7,858 1,668 1,668 13,123824 13,107144 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-28 7,825 7,815 1,661 1,661 12,997325 12,980715 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-10-31 7,905 7,895 1,663 1,663 13,146015 13,129385 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-02 7,98 7,97 1,7 1,7 13,566 13,549 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-03 8,01 8 1,699 1,699 13,60899 13,592 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-04 8,028 8,018 1,702 1,702 13,663656 13,646636 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-07 8,135 8,125 1,71 1,71 13,91085 13,89375 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-08 8,17 8,16 1,72 1,72 14,0524 14,0352 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-09 8,12 8,11 1,711 1,711 13,89332 13,87621 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-10 8,173 8,163 1,704 1,704 13,926792 13,909752 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-11 8,235 8,225 1,712 1,712 14,09832 14,0812 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-14 8,133 8,123 1,7 1,7 13,8261 13,8091 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-15 8,185 8,175 1,685 1,685 13,791725 13,774875 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-16 8,21 8,2 1,69 1,69 13,8749 13,858 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-17 8,258 8,248 1,714 1,714 14,154212 14,137072 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-18 8,223 8,213 1,733 1,733 14,250459 14,233129 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-21 8,123 8,113 1,74 1,74 14,13402 14,11662 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-22 8,15 8,14 1,729 1,729 14,09135 14,07406 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-23 8,048 8,038 1,738 1,738 13,987424 13,970044 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-24 8,053 8,043 1,734 1,734 13,963902 13,946562 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-25 8,078 8,068 1,731 1,731 13,983018 13,965708 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-28 8,118 8,108 1,742 1,742 14,141556 14,124136 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-29 8,015 8,005 1,747 1,747 14,002205 13,984735 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-11-30 8,088 8,078 1,744 1,744 14,105472 14,088032 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-01 8,083 8,073 1,745 1,745 14,104835 14,087385 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-02 8,103 8,093 1,77 1,77 14,34231 14,32461 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-05 8,045 8,035 1,786 1,786 14,36837 14,35051 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-06 7,993 7,983 1,785 1,785 14,267505 14,249655 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-07 8,015 8,005 1,792 1,792 14,36288 14,34496 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-08 7,988 7,978 1,775 1,775 14,1787 14,16095 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-12 7,953 7,943 1,813 1,813 14,418789 14,400659 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-13 7,905 7,895 1,827 1,827 14,442435 14,424165 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-14 7,848 7,838 1,849 1,849 14,510952 14,492462 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-15 7,858 7,848 1,841 1,841 14,466578 14,448168 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-16 7,903 7,893 1,839 1,839 14,533617 14,515227 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-19 7,865 7,855 1,844 1,844 14,50306 14,48462 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-20 7,848 7,838 1,851 1,851 14,526648 14,508138 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-21 7,948 7,938 1,861 1,861 14,791228 14,772618 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-22 7,98 7,97 1,874 1,874 14,95452 14,93578 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-23 7,955 7,945 1,879 1,879 14,947445 14,928655 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-27 8,01 8 1,874 1,874 15,01074 14,992 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-28 7,915 7,905 1,879 1,879 14,872285 14,853495 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-29 7,938 7,928 1,879 1,879 14,915502 14,896712 179457 Kaupthing Bank Oyj Kaupthing Manager Selection - Asia Pacific USD 2005-12-30 7,958 7,948 1,885 1,885 15,00083 14,98198 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-07 7,43 7,42 2,154 2,154 16,00422 15,98268 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-08 7,498 7,488 2,168 2,168 16,255664 16,233984 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-09 7,523 7,513 2,177 2,177 16,377571 16,355801 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-12 7,555 7,545 2,19 2,19 16,54545 16,52355 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-13 7,57 7,56 2,189 2,189 16,57073 16,54884 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-14 7,61 7,6 2,186 2,186 16,63546 16,6136 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-15 7,658 7,648 2,193 2,193 16,793994 16,772064 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-16 7,613 7,603 2,205 2,205 16,786665 16,764615 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-19 7,698 7,688 2,215 2,215 17,05107 17,02892 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-20 7,688 7,678 2,227 2,227 17,121176 17,098906 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-21 7,663 7,653 2,231 2,231 17,096153 17,073843 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-22 7,648 7,638 2,237 2,237 17,108576 17,086206 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-23 7,733 7,723 2,225 2,225 17,205925 17,183675 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-26 7,798 7,788 2,231 2,231 17,397338 17,375028 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-27 7,825 7,815 2,246 2,246 17,57495 17,55249 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-28 7,81 7,8 2,255 2,255 17,61155 17,589 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-29 7,785 7,775 2,266 2,266 17,64081 17,61815 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-09-30 7,785 7,775 2,277 2,277 17,726445 17,703675 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-03 7,783 7,773 2,287 2,287 17,799721 17,776851 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-04 7,82 7,81 2,3 2,3 17,986 17,963 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-05 7,795 7,785 2,284 2,284 17,80378 17,78094 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-06 7,713 7,703 2,238 2,238 17,261694 17,239314 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-07 7,683 7,673 2,212 2,212 16,994796 16,972676 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-10 7,698 7,688 2,225 2,225 17,12805 17,1058 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-11 7,77 7,76 2,237 2,237 17,38149 17,35912 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-12 7,805 7,795 2,231 2,231 17,412955 17,390645 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-13 7,83 7,82 2,189 2,189 17,13987 17,11798 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-14 7,833 7,823 2,164 2,164 16,950612 16,928972 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-17 7,835 7,825 2,158 2,158 16,90793 16,88635 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-18 7,893 7,883 2,166 2,166 17,096238 17,074578 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-19 7,96 7,95 2,125 2,125 16,915 16,89375 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-20 7,93 7,92 2,121 2,121 16,81953 16,79832 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-21 7,883 7,873 2,118 2,118 16,696194 16,675014 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-24 7,995 7,985 2,125 2,125 16,989375 16,968125 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-25 7,99 7,98 2,143 2,143 17,12257 17,10114 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-26 7,868 7,858 2,146 2,146 16,884728 16,863268 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-27 7,868 7,858 2,137 2,137 16,813916 16,792546 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-28 7,825 7,815 2,117 2,117 16,565525 16,544355 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-10-31 7,905 7,895 2,134 2,134 16,86927 16,84793 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-02 7,98 7,97 2,192 2,192 17,49216 17,47024 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-03 8,01 8 2,213 2,213 17,72613 17,704 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-04 8,028 8,018 2,213 2,213 17,765964 17,743834 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-07 8,135 8,125 2,205 2,205 17,937675 17,915625 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-08 8,17 8,16 2,209 2,209 18,04753 18,02544 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-09 8,12 8,11 2,215 2,215 17,9858 17,96365 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-10 8,173 8,163 2,221 2,221 18,152233 18,130023 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-11 8,235 8,225 2,232 2,232 18,38052 18,3582 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-14 8,133 8,123 2,232 2,232 18,152856 18,130536 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-15 8,185 8,175 2,231 2,231 18,260735 18,238425 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-16 8,21 8,2 2,231 2,231 18,31651 18,2942 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-17 8,258 8,248 2,248 2,248 18,563984 18,541504 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-18 8,223 8,213 2,269 2,269 18,657987 18,635297 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-21 8,123 8,113 2,27 2,27 18,43921 18,41651 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-22 8,15 8,14 2,259 2,259 18,41085 18,38826 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-23 8,048 8,038 2,282 2,282 18,365536 18,342716 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-24 8,053 8,043 2,293 2,293 18,465529 18,442599 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-25 8,078 8,068 2,3 2,3 18,5794 18,5564 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-28 8,118 8,108 2,308 2,308 18,736344 18,713264 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-29 8,015 8,005 2,298 2,298 18,41847 18,39549 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-11-30 8,088 8,078 2,3 2,3 18,6024 18,5794 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-01 8,083 8,073 2,308 2,308 18,655564 18,632484 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-02 8,103 8,093 2,33 2,33 18,87999 18,85669 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-05 8,045 8,035 2,342 2,342 18,84139 18,81797 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-06 7,993 7,983 2,346 2,346 18,751578 18,728118 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-07 8,015 8,005 2,361 2,361 18,923415 18,899805 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-08 7,988 7,978 2,347 2,347 18,747836 18,724366 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-12 7,953 7,943 2,347 2,347 18,665691 18,642221 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-13 7,905 7,895 2,355 2,355 18,616275 18,592725 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-14 7,848 7,838 2,364 2,364 18,552672 18,529032 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-15 7,858 7,848 2,362 2,362 18,560596 18,536976 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-16 7,903 7,893 2,354 2,354 18,603662 18,580122 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-19 7,865 7,855 2,362 2,362 18,57713 18,55351 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-20 7,848 7,838 2,356 2,356 18,489888 18,466328 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-21 7,948 7,938 2,367 2,367 18,812916 18,789246 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-22 7,98 7,97 2,377 2,377 18,96846 18,94469 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-23 7,955 7,945 2,38 2,38 18,9329 18,9091 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-27 8,01 8 2,381 2,381 19,07181 19,048 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-28 7,915 7,905 2,378 2,378 18,82187 18,79809 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-29 7,938 7,928 2,386 2,386 18,940068 18,916208 143628 Kaupthing Bank Oyj Kaupthing Manager Selection - Emerging Markets USD 2005-12-30 7,958 7,948 2,397 2,397 19,075326 19,051356 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-07 9,3075 9,3025 1,738 1,738 16,176435 16,167745 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-08 9,3255 9,3205 1,757 1,757 16,3849035 16,3761185 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-09 9,3445 9,3395 1,761 1,761 16,4556645 16,4468595 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-12 9,3015 9,2965 1,767 1,767 16,4357505 16,4269155 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-13 9,3015 9,2965 1,758 1,758 16,352037 16,343247 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-14 9,3365 9,3315 1,759 1,759 16,4229035 16,4141085 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-15 9,3425 9,3375 1,763 1,763 16,4708275 16,4620125 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-16 9,3465 9,3415 1,772 1,772 16,561998 16,553138 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-19 9,3355 9,3305 1,778 1,778 16,598519 16,589629 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-20 9,3395 9,3345 1,781 1,781 16,6336495 16,6247445 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-21 9,3405 9,3355 1,768 1,768 16,514004 16,505164 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-22 9,3405 9,3355 1,762 1,762 16,457961 16,449151 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-23 9,3695 9,3645 1,765 1,765 16,5371675 16,5283425 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-26 9,3815 9,3765 1,781 1,781 16,7084515 16,6995465 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-27 9,3885 9,3835 1,781 1,781 16,7209185 16,7120135 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-28 9,3935 9,3885 1,787 1,787 16,7861845 16,7772495 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-29 9,3845 9,3795 1,788 1,788 16,779486 16,770546 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-09-30 9,3435 9,3385 1,792 1,792 16,743552 16,734592 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-03 9,3025 9,2975 1,803 1,803 16,7724075 16,7633925 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-04 9,3185 9,3135 1,81 1,81 16,866485 16,857435 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-05 9,3105 9,3055 1,795 1,795 16,7123475 16,7033725 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-06 9,3015 9,2965 1,77 1,77 16,463655 16,454805 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-07 9,3385 9,3335 1,761 1,761 16,4450985 16,4362935 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-10 9,3465 9,3415 1,763 1,763 16,4778795 16,4690645 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-11 9,3395 9,3345 1,768 1,768 16,512236 16,503396 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-12 9,3375 9,3325 1,76 1,76 16,434 16,4252 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-13 9,3815 9,3765 1,739 1,739 16,3144285 16,3057335 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-14 9,4135 9,4085 1,73 1,73 16,285355 16,276705 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-17 9,4575 9,4525 1,731 1,731 16,3709325 16,3622775 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-18 9,4625 9,4575 1,729 1,729 16,3606625 16,3520175 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-19 9,4605 9,4555 1,698 1,698 16,063929 16,055439 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-20 9,4935 9,4885 1,7 1,7 16,13895 16,13045 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-21 9,4915 9,4865 1,691 1,691 16,0501265 16,0416715 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-24 9,5455 9,5405 1,704 1,704 16,265532 16,257012 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-25 9,5465 9,5415 1,705 1,705 16,2767825 16,2682575 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-26 9,4975 9,4925 1,711 1,711 16,2502225 16,2416675 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-27 9,5355 9,5305 1,692 1,692 16,134066 16,125606 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-28 9,5135 9,5085 1,687 1,687 16,0492745 16,0408395 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-10-31 9,5495 9,5445 1,713 1,713 16,3582935 16,3497285 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-02 9,5855 9,5805 1,738 1,738 16,659599 16,650909 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-03 9,6515 9,6465 1,763 1,763 17,0155945 17,0067795 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-04 9,5875 9,5825 1,766 1,766 16,931525 16,922695 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-07 9,6075 9,6025 1,769 1,769 16,9956675 16,9868225 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-08 9,5685 9,5635 1,771 1,771 16,9458135 16,9369585 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-09 9,5575 9,5525 1,771 1,771 16,9263325 16,9174775 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-10 9,6105 9,6055 1,771 1,771 17,0201955 17,0113405 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-11 9,6365 9,6315 1,783 1,783 17,1818795 17,1729645 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-14 9,5505 9,5455 1,785 1,785 17,0476425 17,0387175 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-15 9,5805 9,5755 1,78 1,78 17,05329 17,04439 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-16 9,6235 9,6185 1,767 1,767 17,0047245 16,9958895 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-17 9,6355 9,6305 1,771 1,771 17,0644705 17,0556155 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-18 9,6085 9,6035 1,781 1,781 17,1127385 17,1038335 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-21 9,5915 9,5865 1,785 1,785 17,1208275 17,1119025 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-22 9,5585 9,5535 1,791 1,791 17,1192735 17,1103185 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-23 9,5155 9,5105 1,797 1,797 17,0993535 17,0903685 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-24 9,5125 9,5075 1,795 1,795 17,0749375 17,0659625 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-25 9,4965 9,4915 1,802 1,802 17,112693 17,103683 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-28 9,4835 9,4785 1,801 1,801 17,0797835 17,0707785 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-29 9,4785 9,4735 1,795 1,795 17,0139075 17,0049325 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-11-30 9,5295 9,5245 1,791 1,791 17,0673345 17,0583795 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-01 9,5165 9,5115 1,805 1,805 17,1772825 17,1682575 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-02 9,4905 9,4855 1,826 1,826 17,329653 17,320523 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-05 9,4065 9,4015 1,83 1,83 17,213895 17,204745 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-06 9,4185 9,4135 1,832 1,832 17,254692 17,245532 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-07 9,4255 9,4205 1,838 1,838 17,324069 17,314879 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-08 9,3965 9,3915 1,835 1,835 17,2425775 17,2334025 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-12 9,4315 9,4265 1,836 1,836 17,316234 17,307054 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-13 9,4295 9,4245 1,836 1,836 17,312562 17,303382 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-14 9,4365 9,4315 1,832 1,832 17,287668 17,278508 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-15 9,4345 9,4295 1,831 1,831 17,2745695 17,2654145 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-16 9,4765 9,4715 1,837 1,837 17,4083305 17,3991455 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-19 9,4535 9,4485 1,838 1,838 17,375533 17,366343 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-20 9,4015 9,3965 1,841 1,841 17,3081615 17,2989565 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-21 9,4485 9,4435 1,852 1,852 17,498622 17,489362 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-22 9,4365 9,4315 1,852 1,852 17,476398 17,467138 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-23 9,4425 9,4375 1,854 1,854 17,506395 17,497125 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-27 9,4915 9,4865 1,856 1,856 17,616224 17,606944 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-28 9,4345 9,4295 1,854 1,854 17,491563 17,482293 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-29 9,4115 9,4065 1,86 1,86 17,50539 17,49609 215285 Kaupthing Bank Oyj Kaupthing Manager Selection - Europe EUR 2005-12-30 9,4325 9,4275 1,858 1,858 17,525585 17,516295 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-07 7,43 7,42 1,849 1,849 13,73807 13,71958 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-08 7,498 7,488 1,858 1,858 13,931284 13,912704 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-09 7,523 7,513 1,863 1,863 14,015349 13,996719 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-12 7,555 7,545 1,867 1,867 14,105185 14,086515 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-13 7,57 7,56 1,86 1,86 14,0802 14,0616 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-14 7,61 7,6 1,856 1,856 14,12416 14,1056 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-15 7,658 7,648 1,855 1,855 14,20559 14,18704 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-16 7,613 7,603 1,862 1,862 14,175406 14,156786 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-19 7,698 7,688 1,858 1,858 14,302884 14,284304 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-20 7,688 7,678 1,859 1,859 14,291992 14,273402 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-21 7,663 7,653 1,847 1,847 14,153561 14,135091 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-22 7,648 7,638 1,841 1,841 14,079968 14,061558 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-23 7,733 7,723 1,839 1,839 14,220987 14,202597 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-26 7,798 7,788 1,851 1,851 14,434098 14,415588 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-27 7,825 7,815 1,848 1,848 14,4606 14,44212 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-28 7,81 7,8 1,857 1,857 14,50317 14,4846 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-29 7,785 7,775 1,867 1,867 14,534595 14,515925 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-09-30 7,785 7,775 1,875 1,875 14,596875 14,578125 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-03 7,783 7,773 1,873 1,873 14,577559 14,558829 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-04 7,82 7,81 1,875 1,875 14,6625 14,64375 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-05 7,795 7,785 1,853 1,853 14,444135 14,425605 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-06 7,713 7,703 1,837 1,837 14,168781 14,150411 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-07 7,683 7,673 1,833 1,833 14,082939 14,064609 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-10 7,698 7,688 1,829 1,829 14,079642 14,061352 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-11 7,77 7,76 1,828 1,828 14,20356 14,18528 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-12 7,805 7,795 1,823 1,823 14,228515 14,210285 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-13 7,83 7,82 1,805 1,805 14,13315 14,1151 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-14 7,833 7,823 1,814 1,814 14,209062 14,190922 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-17 7,835 7,825 1,813 1,813 14,204855 14,186725 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-18 7,893 7,883 1,804 1,804 14,238972 14,220932 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-19 7,96 7,95 1,793 1,793 14,27228 14,25435 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-20 7,93 7,92 1,796 1,796 14,24228 14,22432 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-21 7,883 7,873 1,79 1,79 14,11057 14,09267 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-24 7,995 7,985 1,797 1,797 14,367015 14,349045 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-25 7,99 7,98 1,809 1,809 14,45391 14,43582 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-26 7,868 7,858 1,812 1,812 14,256816 14,238696 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-27 7,868 7,858 1,802 1,802 14,178136 14,160116 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-28 7,825 7,815 1,802 1,802 14,10065 14,08263 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-10-31 7,905 7,895 1,812 1,812 14,32386 14,30574 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-02 7,98 7,97 1,849 1,849 14,75502 14,73653 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-03 8,01 8 1,86 1,86 14,8986 14,88 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-04 8,028 8,018 1,855 1,855 14,89194 14,87339 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-07 8,135 8,125 1,856 1,856 15,09856 15,08 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-08 8,17 8,16 1,855 1,855 15,15535 15,1368 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-09 8,12 8,11 1,851 1,851 15,03012 15,01161 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-10 8,173 8,163 1,853 1,853 15,144569 15,126039 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-11 8,235 8,225 1,864 1,864 15,35004 15,3314 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-14 8,133 8,123 1,863 1,863 15,151779 15,133149 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-15 8,185 8,175 1,855 1,855 15,183175 15,164625 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-16 8,21 8,2 1,849 1,849 15,18029 15,1618 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-17 8,258 8,248 1,86 1,86 15,35988 15,34128 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-18 8,223 8,213 1,879 1,879 15,451017 15,432227 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-21 8,123 8,113 1,885 1,885 15,311855 15,293005 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-22 8,15 8,14 1,89 1,89 15,4035 15,3846 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-23 8,048 8,038 1,902 1,902 15,307296 15,288276 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-24 8,053 8,043 1,902 1,902 15,316806 15,297786 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-25 8,078 8,068 1,902 1,902 15,364356 15,345336 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-28 8,118 8,108 1,902 1,902 15,440436 15,421416 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-29 8,015 8,005 1,897 1,897 15,204455 15,185485 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-11-30 8,088 8,078 1,896 1,896 15,334848 15,315888 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-01 8,083 8,073 1,903 1,903 15,381949 15,362919 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-02 8,103 8,093 1,92 1,92 15,55776 15,53856 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-05 8,045 8,035 1,926 1,926 15,49467 15,47541 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-06 7,993 7,983 1,928 1,928 15,410504 15,391224 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-07 8,015 8,005 1,926 1,926 15,43689 15,41763 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-08 7,988 7,978 1,925 1,925 15,3769 15,35765 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-12 7,953 7,943 1,944 1,944 15,460632 15,441192 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-13 7,905 7,895 1,946 1,946 15,38313 15,36367 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-14 7,848 7,838 1,954 1,954 15,334992 15,315452 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-15 7,858 7,848 1,951 1,951 15,330958 15,311448 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-16 7,903 7,893 1,95 1,95 15,41085 15,39135 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-19 7,865 7,855 1,945 1,945 15,297425 15,277975 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-20 7,848 7,838 1,939 1,939 15,217272 15,197882 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-21 7,948 7,938 1,946 1,946 15,466808 15,447348 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-22 7,98 7,97 1,953 1,953 15,58494 15,56541 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-23 7,955 7,945 1,958 1,958 15,57589 15,55631 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-27 8,01 8 1,955 1,955 15,65955 15,64 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-28 7,915 7,905 1,955 1,955 15,473825 15,454275 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-29 7,938 7,928 1,952 1,952 15,494976 15,475456 107797 Kaupthing Bank Oyj Kaupthing Manager Selection - Global Styles USD 2005-12-30 7,958 7,948 1,949 1,949 15,510142 15,490652 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-07 7,43 7,42 1,707 1,707 12,68301 12,66594 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-08 7,498 7,488 1,729 1,729 12,964042 12,946752 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-09 7,523 7,513 1,731 1,731 13,022313 13,005003 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-12 7,555 7,545 1,738 1,738 13,13059 13,11321 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-13 7,57 7,56 1,731 1,731 13,10367 13,08636 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-14 7,61 7,6 1,723 1,723 13,11203 13,0948 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-15 7,658 7,648 1,719 1,719 13,164102 13,146912 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-16 7,613 7,603 1,724 1,724 13,124812 13,107572 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-19 7,698 7,688 1,727 1,727 13,294446 13,277176 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-20 7,688 7,678 1,72 1,72 13,22336 13,20616 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-21 7,663 7,653 1,7 1,7 13,0271 13,0101 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-22 7,648 7,638 1,692 1,692 12,940416 12,923496 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-23 7,733 7,723 1,693 1,693 13,091969 13,075039 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-26 7,798 7,788 1,702 1,702 13,272196 13,255176 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-27 7,825 7,815 1,704 1,704 13,3338 13,31676 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-28 7,81 7,8 1,705 1,705 13,31605 13,299 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-29 7,785 7,775 1,706 1,706 13,28121 13,26415 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-09-30 7,785 7,775 1,723 1,723 13,413555 13,396325 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-03 7,783 7,773 1,728 1,728 13,449024 13,431744 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-04 7,82 7,81 1,724 1,724 13,48168 13,46444 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-05 7,795 7,785 1,699 1,699 13,243705 13,226715 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-06 7,713 7,703 1,678 1,678 12,942414 12,925634 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-07 7,683 7,673 1,675 1,675 12,869025 12,852275 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-10 7,698 7,688 1,672 1,672 12,871056 12,854336 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-11 7,77 7,76 1,664 1,664 12,92928 12,91264 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-12 7,805 7,795 1,655 1,655 12,917275 12,900725 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-13 7,83 7,82 1,643 1,643 12,86469 12,84826 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-14 7,833 7,823 1,648 1,648 12,908784 12,892304 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-17 7,835 7,825 1,659 1,659 12,998265 12,981675 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-18 7,893 7,883 1,657 1,657 13,078701 13,062131 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-19 7,96 7,95 1,649 1,649 13,12604 13,10955 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-20 7,93 7,92 1,665 1,665 13,20345 13,1868 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-21 7,883 7,873 1,649 1,649 12,999067 12,982577 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-24 7,995 7,985 1,663 1,663 13,295685 13,279055 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-25 7,99 7,98 1,675 1,675 13,38325 13,3665 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-26 7,868 7,858 1,671 1,671 13,147428 13,130718 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-27 7,868 7,858 1,656 1,656 13,029408 13,012848 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-28 7,825 7,815 1,658 1,658 12,97385 12,95727 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-10-31 7,905 7,895 1,675 1,675 13,240875 13,224125 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-02 7,98 7,97 1,693 1,693 13,51014 13,49321 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-03 8,01 8 1,711 1,711 13,70511 13,688 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-04 8,028 8,018 1,712 1,712 13,743936 13,726816 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-07 8,135 8,125 1,713 1,713 13,935255 13,918125 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-08 8,17 8,16 1,709 1,709 13,96253 13,94544 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-09 8,12 8,11 1,708 1,708 13,86896 13,85188 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-10 8,173 8,163 1,713 1,713 14,000349 13,983219 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-11 8,235 8,225 1,723 1,723 14,188905 14,171675 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-14 8,133 8,123 1,725 1,725 14,029425 14,012175 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-15 8,185 8,175 1,72 1,72 14,0782 14,061 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-16 8,21 8,2 1,714 1,714 14,07194 14,0548 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-17 8,258 8,248 1,723 1,723 14,228534 14,211304 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-18 8,223 8,213 1,74 1,74 14,30802 14,29062 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-21 8,123 8,113 1,746 1,746 14,182758 14,165298 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-22 8,15 8,14 1,756 1,756 14,3114 14,29384 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-23 8,048 8,038 1,766 1,766 14,212768 14,195108 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-24 8,053 8,043 1,768 1,768 14,237704 14,220024 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-25 8,078 8,068 1,77 1,77 14,29806 14,28036 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-28 8,118 8,108 1,764 1,764 14,320152 14,302512 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-29 8,015 8,005 1,759 1,759 14,098385 14,080795 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-11-30 8,088 8,078 1,755 1,755 14,19444 14,17689 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-01 8,083 8,073 1,76 1,76 14,22608 14,20848 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-02 8,103 8,093 1,775 1,775 14,382825 14,365075 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-05 8,045 8,035 1,772 1,772 14,25574 14,23802 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-06 7,993 7,983 1,773 1,773 14,171589 14,153859 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-07 8,015 8,005 1,771 1,771 14,194565 14,176855 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-08 7,988 7,978 1,766 1,766 14,106808 14,089148 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-12 7,953 7,943 1,777 1,777 14,132481 14,114711 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-13 7,905 7,895 1,777 1,777 14,047185 14,029415 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-14 7,848 7,838 1,785 1,785 14,00868 13,99083 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-15 7,858 7,848 1,783 1,783 14,010814 13,992984 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-16 7,903 7,893 1,779 1,779 14,059437 14,041647 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-19 7,865 7,855 1,767 1,767 13,897455 13,879785 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-20 7,848 7,838 1,76 1,76 13,81248 13,79488 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-21 7,948 7,938 1,769 1,769 14,060012 14,042322 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-22 7,98 7,97 1,774 1,774 14,15652 14,13878 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-23 7,955 7,945 1,78 1,78 14,1599 14,1421 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-27 8,01 8 1,777 1,777 14,23377 14,216 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-28 7,915 7,905 1,773 1,773 14,033295 14,015565 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-29 7,938 7,928 1,768 1,768 14,034384 14,016704 251116 Kaupthing Bank Oyj Kaupthing Manager Selection - North America USD 2005-12-30 7,958 7,948 1,759 1,759 13,998122 13,980532 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-03 1 1 89,77 89,77 89,77 89,77 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-04 1 1 90,26 90,26 90,26 90,26 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-05 1 1 89,65 89,65 89,65 89,65 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-07 1 1 89,91 89,91 89,91 89,91 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-10 1 1 90,4 90,4 90,4 90,4 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-11 1 1 89,98 89,98 89,98 89,98 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-12 1 1 89,12 89,12 89,12 89,12 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-13 1 1 89,21 89,21 89,21 89,21 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-14 1 1 89,23 89,23 89,23 89,23 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-17 1 1 89,57 89,57 89,57 89,57 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-18 1 1 89,32 89,32 89,32 89,32 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-19 1 1 89,76 89,76 89,76 89,76 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-20 1 1 89,3 89,3 89,3 89,3 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-21 1 1 89,26 89,26 89,26 89,26 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-24 1 1 88,88 88,88 88,88 88,88 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-25 1 1 89,55 89,55 89,55 89,55 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-26 1 1 89,66 89,66 89,66 89,66 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-27 1 1 89,8 89,8 89,8 89,8 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-28 1 1 89,84 89,84 89,84 89,84 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-01-31 1 1 90,01 90,01 90,01 90,01 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-01 1 1 90,15 90,15 90,15 90,15 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-02 1 1 90,67 90,67 90,67 90,67 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-03 1 1 90,69 90,69 90,69 90,69 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-04 1 1 91,36 91,36 91,36 91,36 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-07 1 1 92,07 92,07 92,07 92,07 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-08 1 1 92,2 92,2 92,2 92,2 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-09 1 1 92,29 92,29 92,29 92,29 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-10 1 1 91,58 91,58 91,58 91,58 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-11 1 1 91,86 91,86 91,86 91,86 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-14 1 1 92,04 92,04 92,04 92,04 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-15 1 1 92,27 92,27 92,27 92,27 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-16 1 1 91,7 91,7 91,7 91,7 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-17 1 1 91,68 91,68 91,68 91,68 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-18 1 1 91,34 91,34 91,34 91,34 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-21 1 1 91,53 91,53 91,53 91,53 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-22 1 1 91,19 91,19 91,19 91,19 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-23 1 1 91,41 91,41 91,41 91,41 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-24 1 1 91,67 91,67 91,67 91,67 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-25 1 1 92 92 92 92 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-02-28 1 1 92,19 92,19 92,19 92,19 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-01 1 1 92,39 92,39 92,39 92,39 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-02 1 1 92,33 92,33 92,33 92,33 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-03 1 1 92,92 92,92 92,92 92,92 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-04 1 1 93,24 93,24 93,24 93,24 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-07 1 1 93,24 93,24 93,24 93,24 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-08 1 1 92,83 92,83 92,83 92,83 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-09 1 1 92,66 92,66 92,66 92,66 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-10 1 1 92,37 92,37 92,37 92,37 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-11 1 1 92,51 92,51 92,51 92,51 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-14 1 1 92,49 92,49 92,49 92,49 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-15 1 1 92,96 92,96 92,96 92,96 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-16 1 1 92,47 92,47 92,47 92,47 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-17 1 1 92,25 92,25 92,25 92,25 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-18 1 1 92,33 92,33 92,33 92,33 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-21 1 1 92,05 92,05 92,05 92,05 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-22 1 1 90,99 90,99 90,99 90,99 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-23 1 1 90,8 90,8 90,8 90,8 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-24 1 1 91,05 91,05 91,05 91,05 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-29 1 1 90,89 90,89 90,89 90,89 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-30 1 1 90,66 90,66 90,66 90,66 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-03-31 1 1 91,07 91,07 91,07 91,07 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-01 1 1 91,43 91,43 91,43 91,43 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-04 1 1 91,19 91,19 91,19 91,19 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-05 1 1 91,64 91,64 91,64 91,64 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-06 1 1 92,01 92,01 92,01 92,01 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-07 1 1 92,16 92,16 92,16 92,16 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-08 1 1 92,2 92,2 92,2 92,2 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-11 1 1 92,33 92,33 92,33 92,33 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-12 1 1 92,21 92,21 92,21 92,21 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-13 1 1 92,74 92,74 92,74 92,74 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-14 1 1 93,05 93,05 93,05 93,05 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-15 1 1 92,3 92,3 92,3 92,3 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-18 1 1 91,83 91,83 91,83 91,83 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-19 1 1 92,2 92,2 92,2 92,2 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-20 1 1 92,21 92,21 92,21 92,21 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-21 1 1 92,19 92,19 92,19 92,19 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-22 1 1 92,83 92,83 92,83 92,83 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-25 1 1 92,75 92,75 92,75 92,75 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-26 1 1 92,4 92,4 92,4 92,4 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-27 1 1 91,65 91,65 91,65 91,65 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-28 1 1 91,39 91,39 91,39 91,39 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-04-29 1 1 91,36 91,36 91,36 91,36 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-02 1 1 91,92 91,92 91,92 91,92 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-03 1 1 91,95 91,95 91,95 91,95 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-04 1 1 91,9 91,9 91,9 91,9 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-06 1 1 92,33 92,33 92,33 92,33 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-09 1 1 92,5 92,5 92,5 92,5 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-10 1 1 92,37 92,37 92,37 92,37 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-11 1 1 92,46 92,46 92,46 92,46 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-12 1 1 92,78 92,78 92,78 92,78 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-13 1 1 93,16 93,16 93,16 93,16 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-16 1 1 93,22 93,22 93,22 93,22 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-17 1 1 93,4 93,4 93,4 93,4 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-18 1 1 93,94 93,94 93,94 93,94 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-19 1 1 93,93 93,93 93,93 93,93 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-20 1 1 93,84 93,84 93,84 93,84 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-23 1 1 93,92 93,92 93,92 93,92 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-24 1 1 93,99 93,99 93,99 93,99 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-25 1 1 94,18 94,18 94,18 94,18 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-26 1 1 94,26 94,26 94,26 94,26 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-27 1 1 94,35 94,35 94,35 94,35 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-30 1 1 94,4 94,4 94,4 94,4 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-05-31 1 1 94,67 94,67 94,67 94,67 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-01 1 1 94,77 94,77 94,77 94,77 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-02 1 1 94,46 94,46 94,46 94,46 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-03 1 1 94,42 94,42 94,42 94,42 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-07 1 1 94,63 94,63 94,63 94,63 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-08 1 1 95,13 95,13 95,13 95,13 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-09 1 1 95,1 95,1 95,1 95,1 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-10 1 1 95,28 95,28 95,28 95,28 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-13 1 1 95,24 95,24 95,24 95,24 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-14 1 1 95,62 95,62 95,62 95,62 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-15 1 1 95,34 95,34 95,34 95,34 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-16 1 1 95,38 95,38 95,38 95,38 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-17 1 1 95,61 95,61 95,61 95,61 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-20 1 1 95,48 95,48 95,48 95,48 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-21 1 1 95,98 95,98 95,98 95,98 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-22 1 1 96,39 96,39 96,39 96,39 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-23 1 1 96,69 96,69 96,69 96,69 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-27 1 1 95,85 95,85 95,85 95,85 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-28 1 1 95,98 95,98 95,98 95,98 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-29 1 1 96,33 96,33 96,33 96,33 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-06-30 1 1 96,5 96,5 96,5 96,5 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-01 1 1 96,7 96,7 96,7 96,7 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-04 1 1 96,89 96,89 96,89 96,89 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-05 1 1 96,79 96,79 96,79 96,79 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-06 1 1 96,92 96,92 96,92 96,92 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-07 1 1 96,14 96,14 96,14 96,14 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-08 1 1 96,87 96,87 96,87 96,87 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-11 1 1 97,63 97,63 97,63 97,63 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-12 1 1 97,69 97,69 97,69 97,69 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-13 1 1 97,85 97,85 97,85 97,85 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-14 1 1 97,84 97,84 97,84 97,84 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-15 1 1 97,66 97,66 97,66 97,66 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-18 1 1 97,76 97,76 97,76 97,76 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-19 1 1 97,73 97,73 97,73 97,73 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-20 1 1 97,49 97,49 97,49 97,49 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-21 1 1 97,29 97,29 97,29 97,29 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-22 1 1 97,73 97,73 97,73 97,73 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-25 1 1 97,5 97,5 97,5 97,5 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-26 1 1 97,72 97,72 97,72 97,72 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-27 1 1 97,85 97,85 97,85 97,85 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-28 1 1 98,12 98,12 98,12 98,12 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-07-29 1 1 98,12 98,12 98,12 98,12 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-01 1 1 97,87 97,87 97,87 97,87 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-02 1 1 98,05 98,05 98,05 98,05 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-03 1 1 97,89 97,89 97,89 97,89 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-04 1 1 97,64 97,64 97,64 97,64 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-05 1 1 97,36 97,36 97,36 97,36 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-08 1 1 97,33 97,33 97,33 97,33 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-09 1 1 97,29 97,29 97,29 97,29 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-10 1 1 98,02 98,02 98,02 98,02 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-11 1 1 97,91 97,91 97,91 97,91 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-12 1 1 97,62 97,62 97,62 97,62 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-15 1 1 97,62 97,62 97,62 97,62 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-16 1 1 97,77 97,77 97,77 97,77 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-17 1 1 97,59 97,59 97,59 97,59 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-18 1 1 97,61 97,61 97,61 97,61 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-19 1 1 97,87 97,87 97,87 97,87 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-22 1 1 98 98 98 98 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-23 1 1 97,83 97,83 97,83 97,83 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-24 1 1 97,09 97,09 97,09 97,09 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-25 1 1 96,73 96,73 96,73 96,73 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-26 1 1 96,43 96,43 96,43 96,43 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-29 1 1 96,57 96,57 96,57 96,57 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-30 1 1 96,61 96,61 96,61 96,61 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-08-31 1 1 96,81 96,81 96,81 96,81 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-01 1 1 97,33 97,33 97,33 97,33 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-02 1 1 97,23 97,23 97,23 97,23 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-05 1 1 97,46 97,46 97,46 97,46 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-06 1 1 97,8 97,8 97,8 97,8 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-07 1 1 97,87 97,87 97,87 97,87 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-08 1 1 97,89 97,89 97,89 97,89 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-09 1 1 98,29 98,29 98,29 98,29 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-12 1 1 98,39 98,39 98,39 98,39 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-13 1 1 98,3 98,3 98,3 98,3 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-14 1 1 98,57 98,57 98,57 98,57 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-15 1 1 98,25 98,25 98,25 98,25 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-16 1 1 98,34 98,34 98,34 98,34 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-19 1 1 98,36 98,36 98,36 98,36 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-20 1 1 98,41 98,41 98,41 98,41 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-21 1 1 98,13 98,13 98,13 98,13 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-22 1 1 98,04 98,04 98,04 98,04 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-23 1 1 98,08 98,08 98,08 98,08 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-26 1 1 98,59 98,59 98,59 98,59 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-27 1 1 98,69 98,69 98,69 98,69 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-28 1 1 98,95 98,95 98,95 98,95 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-29 1 1 98,96 98,96 98,96 98,96 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-09-30 1 1 99,3 99,3 99,3 99,3 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-03 1 1 99,37 99,37 99,37 99,37 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-04 1 1 99,36 99,36 99,36 99,36 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-05 1 1 99,01 99,01 99,01 99,01 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-06 1 1 98,57 98,57 98,57 98,57 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-07 1 1 98,6 98,6 98,6 98,6 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-10 1 1 98,76 98,76 98,76 98,76 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-11 1 1 98,77 98,77 98,77 98,77 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-12 1 1 98,25 98,25 98,25 98,25 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-13 1 1 97,56 97,56 97,56 97,56 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-14 1 1 97,59 97,59 97,59 97,59 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-17 1 1 97,6 97,6 97,6 97,6 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-18 1 1 97,18 97,18 97,18 97,18 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-19 1 1 96,68 96,68 96,68 96,68 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-20 1 1 96,73 96,73 96,73 96,73 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-21 1 1 96,49 96,49 96,49 96,49 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-24 1 1 97,02 97,02 97,02 97,02 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-25 1 1 97,16 97,16 97,16 97,16 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-26 1 1 97,16 97,16 97,16 97,16 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-27 1 1 96,65 96,65 96,65 96,65 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-28 1 1 96,36 96,36 96,36 96,36 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-10-31 1 1 97,39 97,39 97,39 97,39 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-01 1 1 97,49 97,49 97,49 97,49 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-02 1 1 97,5 97,5 97,5 97,5 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-03 1 1 98,01 98,01 98,01 98,01 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-04 1 1 97,98 97,98 97,98 97,98 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-07 1 1 98,14 98,14 98,14 98,14 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-08 1 1 98,11 98,11 98,11 98,11 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-09 1 1 98,16 98,16 98,16 98,16 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-10 1 1 98,14 98,14 98,14 98,14 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-11 1 1 98,69 98,69 98,69 98,69 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-14 1 1 98,88 98,88 98,88 98,88 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-15 1 1 98,68 98,68 98,68 98,68 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-16 1 1 98,83 98,83 98,83 98,83 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-17 1 1 99,01 99,01 99,01 99,01 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-18 1 1 99,19 99,19 99,19 99,19 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-21 1 1 99,23 99,23 99,23 99,23 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-22 1 1 99,18 99,18 99,18 99,18 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-23 1 1 99,34 99,34 99,34 99,34 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-24 1 1 99,4 99,4 99,4 99,4 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-25 1 1 99,6 99,6 99,6 99,6 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-28 1 1 99,76 99,76 99,76 99,76 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-29 1 1 99,66 99,66 99,66 99,66 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-11-30 1 1 99,13 99,13 99,13 99,13 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-01 1 1 99,67 99,67 99,67 99,67 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-02 1 1 100 100 100 100 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-05 1 1 99,77 99,77 99,77 99,77 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-06 1 1 100,13 100,13 100,13 100,13 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-07 1 1 100,16 100,16 100,16 100,16 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-08 1 1 100,18 100,18 100,18 100,18 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-12 1 1 100,26 100,26 100,26 100,26 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-13 1 1 100,24 100,24 100,24 100,24 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-14 1 1 100,37 100,37 100,37 100,37 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-15 1 1 100,33 100,33 100,33 100,33 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-16 1 1 100,67 100,67 100,67 100,67 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-19 1 1 100,89 100,89 100,89 100,89 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-20 1 1 100,72 100,72 100,72 100,72 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-21 1 1 100,94 100,94 100,94 100,94 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-22 1 1 101,02 101,02 101,02 101,02 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-23 1 1 101,61 101,61 101,61 101,61 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-27 1 1 101,93 101,93 101,93 101,93 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-28 1 1 101,9 101,9 101,9 101,9 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-29 1 1 102,01 102,01 102,01 102,01 975094 Kaupthing Fonder AB Kaupthing Mix SEK 2005-12-30 1 1 101,75 101,75 101,75 101,75 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-03 1 1 1002,04 1002,04 1002,04 1002,04 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-04 1 1 1001,95 1001,95 1001,95 1001,95 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-05 1 1 1000,66 1000,66 1000,66 1000,66 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-07 1 1 1003,73 1003,73 1003,73 1003,73 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-10 1 1 1004,69 1004,69 1004,69 1004,69 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-11 1 1 1004,85 1004,85 1004,85 1004,85 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-12 1 1 1004,9 1004,9 1004,9 1004,9 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-13 1 1 1006,01 1006,01 1006,01 1006,01 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-14 1 1 1006,13 1006,13 1006,13 1006,13 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-17 1 1 1006,79 1006,79 1006,79 1006,79 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-18 1 1 1006,41 1006,41 1006,41 1006,41 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-19 1 1 1007,44 1007,44 1007,44 1007,44 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-20 1 1 1006,46 1006,46 1006,46 1006,46 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-21 1 1 1007,53 1007,53 1007,53 1007,53 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-24 1 1 1008,93 1008,93 1008,93 1008,93 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-25 1 1 1008,64 1008,64 1008,64 1008,64 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-26 1 1 1007,87 1007,87 1007,87 1007,87 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-27 1 1 1007,06 1007,06 1007,06 1007,06 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-28 1 1 1008,79 1008,79 1008,79 1008,79 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-01-31 1 1 1008,86 1008,86 1008,86 1008,86 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-01 1 1 1009,89 1009,89 1009,89 1009,89 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-02 1 1 1009,62 1009,62 1009,62 1009,62 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-03 1 1 1009,08 1009,08 1009,08 1009,08 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-04 1 1 1010,61 1010,61 1010,61 1010,61 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-07 1 1 1010,96 1010,96 1010,96 1010,96 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-08 1 1 1010,5 1010,5 1010,5 1010,5 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-09 1 1 1011,99 1011,99 1011,99 1011,99 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-10 1 1 1013,28 1013,28 1013,28 1013,28 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-11 1 1 1013,14 1013,14 1013,14 1013,14 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-14 1 1 1012,08 1012,08 1012,08 1012,08 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-15 1 1 1011,8 1011,8 1011,8 1011,8 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-16 1 1 1012,35 1012,35 1012,35 1012,35 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-17 1 1 1012,08 1012,08 1012,08 1012,08 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-18 1 1 1009,11 1009,11 1009,11 1009,11 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-21 1 1 1007,82 1007,82 1007,82 1007,82 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-22 1 1 1006,96 1006,96 1006,96 1006,96 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-23 1 1 1008,43 1008,43 1008,43 1008,43 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-24 1 1 1007,15 1007,15 1007,15 1007,15 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-25 1 1 1006,62 1006,62 1006,62 1006,62 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-02-28 1 1 1007,84 1007,84 1007,84 1007,84 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-01 1 1 1007,7 1007,7 1007,7 1007,7 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-02 1 1 1006,25 1006,25 1006,25 1006,25 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-03 1 1 1007,2 1007,2 1007,2 1007,2 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-04 1 1 1009,32 1009,32 1009,32 1009,32 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-07 1 1 1010,53 1010,53 1010,53 1010,53 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-08 1 1 1011,15 1011,15 1011,15 1011,15 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-09 1 1 1009,68 1009,68 1009,68 1009,68 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-10 1 1 1009,7 1009,7 1009,7 1009,7 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-11 1 1 1008,48 1008,48 1008,48 1008,48 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-14 1 1 1008,55 1008,55 1008,55 1008,55 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-15 1 1 1010,24 1010,24 1010,24 1010,24 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-16 1 1 1009,44 1009,44 1009,44 1009,44 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-17 1 1 1010,27 1010,27 1010,27 1010,27 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-18 1 1 1009,89 1009,89 1009,89 1009,89 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-21 1 1 1009,21 1009,21 1009,21 1009,21 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-22 1 1 1010,51 1010,51 1010,51 1010,51 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-23 1 1 1009,83 1009,83 1009,83 1009,83 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-24 1 1 1010,31 1010,31 1010,31 1010,31 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-29 1 1 1010,88 1010,88 1010,88 1010,88 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-30 1 1 1011,52 1011,52 1011,52 1011,52 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-03-31 1 1 1013,6 1013,6 1013,6 1013,6 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-01 1 1 1015,05 1015,05 1015,05 1015,05 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-04 1 1 1015,68 1015,68 1015,68 1015,68 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-05 1 1 1015,58 1015,58 1015,58 1015,58 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-06 1 1 1016,17 1016,17 1016,17 1016,17 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-07 1 1 1016,55 1016,55 1016,55 1016,55 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-08 1 1 1015,26 1015,26 1015,26 1015,26 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-11 1 1 1016,3 1016,3 1016,3 1016,3 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-12 1 1 1016,59 1016,59 1016,59 1016,59 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-13 1 1 1018,12 1018,12 1018,12 1018,12 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-14 1 1 1018,65 1018,65 1018,65 1018,65 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-15 1 1 1020,29 1020,29 1020,29 1020,29 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-18 1 1 1020,92 1020,92 1020,92 1020,92 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-19 1 1 1021,58 1021,58 1021,58 1021,58 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-20 1 1 1021,61 1021,61 1021,61 1021,61 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-21 1 1 1021,89 1021,89 1021,89 1021,89 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-22 1 1 1023,59 1023,59 1023,59 1023,59 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-25 1 1 1024,66 1024,66 1024,66 1024,66 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-26 1 1 1025,71 1025,71 1025,71 1025,71 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-27 1 1 1027,46 1027,46 1027,46 1027,46 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-28 1 1 1028,63 1028,63 1028,63 1028,63 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-04-29 1 1 1029,25 1029,25 1029,25 1029,25 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-02 1 1 1030,09 1030,09 1030,09 1030,09 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-03 1 1 1030,41 1030,41 1030,41 1030,41 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-04 1 1 1028,2 1028,2 1028,2 1028,2 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-06 1 1 1026,09 1026,09 1026,09 1026,09 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-09 1 1 1026,92 1026,92 1026,92 1026,92 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-10 1 1 1031,06 1031,06 1031,06 1031,06 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-11 1 1 1032,71 1032,71 1032,71 1032,71 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-12 1 1 1031,7 1031,7 1031,7 1031,7 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-13 1 1 1034,27 1034,27 1034,27 1034,27 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-16 1 1 1034,84 1034,84 1034,84 1034,84 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-17 1 1 1035,03 1035,03 1035,03 1035,03 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-18 1 1 1037,6 1037,6 1037,6 1037,6 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-19 1 1 1036,52 1036,52 1036,52 1036,52 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-20 1 1 1034,34 1034,34 1034,34 1034,34 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-23 1 1 1035,03 1035,03 1035,03 1035,03 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-24 1 1 1036,37 1036,37 1036,37 1036,37 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-25 1 1 1038 1038 1038 1038 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-26 1 1 1035,69 1035,69 1035,69 1035,69 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-27 1 1 1036,25 1036,25 1036,25 1036,25 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-30 1 1 1035,11 1035,11 1035,11 1035,11 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-05-31 1 1 1038,67 1038,67 1038,67 1038,67 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-01 1 1 1041,03 1041,03 1041,03 1041,03 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-02 1 1 1041,86 1041,86 1041,86 1041,86 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-03 1 1 1045,64 1045,64 1045,64 1045,64 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-07 1 1 1045,77 1045,77 1045,77 1045,77 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-08 1 1 1049,23 1049,23 1049,23 1049,23 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-09 1 1 1049,08 1049,08 1049,08 1049,08 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-10 1 1 1048,74 1048,74 1048,74 1048,74 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-13 1 1 1048,29 1048,29 1048,29 1048,29 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-14 1 1 1046,48 1046,48 1046,48 1046,48 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-15 1 1 1044,06 1044,06 1044,06 1044,06 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-16 1 1 1042,82 1042,82 1042,82 1042,82 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-17 1 1 1044,2 1044,2 1044,2 1044,2 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-20 1 1 1043,91 1043,91 1043,91 1043,91 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-21 1 1 1047,95 1047,95 1047,95 1047,95 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-22 1 1 1050,11 1050,11 1050,11 1050,11 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-23 1 1 1049,93 1049,93 1049,93 1049,93 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-27 1 1 1051,12 1051,12 1051,12 1051,12 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-28 1 1 1049,47 1049,47 1049,47 1049,47 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-29 1 1 1051,22 1051,22 1051,22 1051,22 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-06-30 1 1 1051,19 1051,19 1051,19 1051,19 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-01 1 1 1052,18 1052,18 1052,18 1052,18 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-04 1 1 1050,2 1050,2 1050,2 1050,2 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-05 1 1 1048,07 1048,07 1048,07 1048,07 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-06 1 1 1048,81 1048,81 1048,81 1048,81 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-07 1 1 1050,75 1050,75 1050,75 1050,75 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-08 1 1 1051,19 1051,19 1051,19 1051,19 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-11 1 1 1049,1 1049,1 1049,1 1049,1 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-12 1 1 1048,15 1048,15 1048,15 1048,15 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-13 1 1 1047,31 1047,31 1047,31 1047,31 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-14 1 1 1046,13 1046,13 1046,13 1046,13 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-15 1 1 1045,76 1045,76 1045,76 1045,76 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-18 1 1 1046,74 1046,74 1046,74 1046,74 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-19 1 1 1046,08 1046,08 1046,08 1046,08 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-20 1 1 1046,56 1046,56 1046,56 1046,56 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-21 1 1 1046,97 1046,97 1046,97 1046,97 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-22 1 1 1049,5 1049,5 1049,5 1049,5 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-25 1 1 1050,67 1050,67 1050,67 1050,67 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-26 1 1 1049,62 1049,62 1049,62 1049,62 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-27 1 1 1051,71 1051,71 1051,71 1051,71 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-28 1 1 1050,35 1050,35 1050,35 1050,35 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-07-29 1 1 1048,47 1048,47 1048,47 1048,47 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-01 1 1 1044,53 1044,53 1044,53 1044,53 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-02 1 1 1042,54 1042,54 1042,54 1042,54 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-03 1 1 1041,19 1041,19 1041,19 1041,19 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-04 1 1 1042,95 1042,95 1042,95 1042,95 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-05 1 1 1040,38 1040,38 1040,38 1040,38 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-08 1 1 1040,23 1040,23 1040,23 1040,23 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-09 1 1 1040,43 1040,43 1040,43 1040,43 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-10 1 1 1042,36 1042,36 1042,36 1042,36 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-11 1 1 1042,53 1042,53 1042,53 1042,53 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-12 1 1 1043,59 1043,59 1043,59 1043,59 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-15 1 1 1044,38 1044,38 1044,38 1044,38 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-16 1 1 1045,36 1045,36 1045,36 1045,36 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-17 1 1 1045,28 1045,28 1045,28 1045,28 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-18 1 1 1045,25 1045,25 1045,25 1045,25 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-19 1 1 1044,49 1044,49 1044,49 1044,49 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-22 1 1 1046,18 1046,18 1046,18 1046,18 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-23 1 1 1048,15 1048,15 1048,15 1048,15 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-24 1 1 1047,8 1047,8 1047,8 1047,8 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-25 1 1 1049,36 1049,36 1049,36 1049,36 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-26 1 1 1049,66 1049,66 1049,66 1049,66 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-29 1 1 1049,08 1049,08 1049,08 1049,08 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-30 1 1 1048,98 1048,98 1048,98 1048,98 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-08-31 1 1 1051,86 1051,86 1051,86 1051,86 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-01 1 1 1053,68 1053,68 1053,68 1053,68 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-02 1 1 1054,27 1054,27 1054,27 1054,27 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-05 1 1 1055,15 1055,15 1055,15 1055,15 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-06 1 1 1053,48 1053,48 1053,48 1053,48 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-07 1 1 1053,64 1053,64 1053,64 1053,64 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-08 1 1 1054,93 1054,93 1054,93 1054,93 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-09 1 1 1056,62 1056,62 1056,62 1056,62 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-12 1 1 1053,19 1053,19 1053,19 1053,19 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-13 1 1 1053,63 1053,63 1053,63 1053,63 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-14 1 1 1052,67 1052,67 1052,67 1052,67 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-15 1 1 1052,24 1052,24 1052,24 1052,24 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-16 1 1 1050,91 1050,91 1050,91 1050,91 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-19 1 1 1050,87 1050,87 1050,87 1050,87 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-20 1 1 1052,65 1052,65 1052,65 1052,65 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-21 1 1 1055,82 1055,82 1055,82 1055,82 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-22 1 1 1055,13 1055,13 1055,13 1055,13 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-23 1 1 1053,04 1053,04 1053,04 1053,04 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-26 1 1 1051,13 1051,13 1051,13 1051,13 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-27 1 1 1051,4 1051,4 1051,4 1051,4 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-28 1 1 1050,36 1050,36 1050,36 1050,36 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-29 1 1 1048,5 1048,5 1048,5 1048,5 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-09-30 1 1 1049,04 1049,04 1049,04 1049,04 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-03 1 1 1045,3 1045,3 1045,3 1045,3 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-04 1 1 1046,14 1046,14 1046,14 1046,14 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-05 1 1 1046,92 1046,92 1046,92 1046,92 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-06 1 1 1045,54 1045,54 1045,54 1045,54 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-07 1 1 1045,43 1045,43 1045,43 1045,43 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-10 1 1 1045,63 1045,63 1045,63 1045,63 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-11 1 1 1044,99 1044,99 1044,99 1044,99 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-12 1 1 1043,64 1043,64 1043,64 1043,64 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-13 1 1 1042,21 1042,21 1042,21 1042,21 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-14 1 1 1042,39 1042,39 1042,39 1042,39 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-17 1 1 1042,29 1042,29 1042,29 1042,29 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-18 1 1 1042,31 1042,31 1042,31 1042,31 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-19 1 1 1044,48 1044,48 1044,48 1044,48 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-20 1 1 1042,99 1042,99 1042,99 1042,99 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-21 1 1 1044,93 1044,93 1044,93 1044,93 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-24 1 1 1045,55 1045,55 1045,55 1045,55 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-25 1 1 1043,83 1043,83 1043,83 1043,83 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-26 1 1 1040,03 1040,03 1040,03 1040,03 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-27 1 1 1040,29 1040,29 1040,29 1040,29 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-28 1 1 1039,44 1039,44 1039,44 1039,44 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-10-31 1 1 1038,35 1038,35 1038,35 1038,35 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-01 1 1 1037,97 1037,97 1037,97 1037,97 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-02 1 1 1036,16 1036,16 1036,16 1036,16 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-03 1 1 1034,54 1034,54 1034,54 1034,54 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-04 1 1 1032,31 1032,31 1032,31 1032,31 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-07 1 1 1031,48 1031,48 1031,48 1031,48 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-08 1 1 1032,38 1032,38 1032,38 1032,38 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-09 1 1 1031,11 1031,11 1031,11 1031,11 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-10 1 1 1031,67 1031,67 1031,67 1031,67 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-11 1 1 1032,62 1032,62 1032,62 1032,62 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-14 1 1 1033,48 1033,48 1033,48 1033,48 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-15 1 1 1032,54 1032,54 1032,54 1032,54 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-16 1 1 1035,42 1035,42 1035,42 1035,42 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-17 1 1 1034,95 1034,95 1034,95 1034,95 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-18 1 1 1031,77 1031,77 1031,77 1031,77 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-21 1 1 1033,86 1033,86 1033,86 1033,86 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-22 1 1 1033,86 1033,86 1033,86 1033,86 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-23 1 1 1034,69 1034,69 1034,69 1034,69 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-24 1 1 1037,41 1037,41 1037,41 1037,41 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-25 1 1 1035,95 1035,95 1035,95 1035,95 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-28 1 1 1036,33 1036,33 1036,33 1036,33 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-29 1 1 1035,86 1035,86 1035,86 1035,86 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-11-30 1 1 1034,72 1034,72 1034,72 1034,72 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-01 1 1 1036,04 1036,04 1036,04 1036,04 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-02 1 1 1034,14 1034,14 1034,14 1034,14 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-05 1 1 1032,11 1032,11 1032,11 1032,11 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-06 1 1 1032,71 1032,71 1032,71 1032,71 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-07 1 1 1033,03 1033,03 1033,03 1033,03 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-08 1 1 1033,33 1033,33 1033,33 1033,33 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-12 1 1 1031,8 1031,8 1031,8 1031,8 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-13 1 1 1032,95 1032,95 1032,95 1032,95 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-14 1 1 1035,28 1035,28 1035,28 1035,28 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-15 1 1 1036,42 1036,42 1036,42 1036,42 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-16 1 1 1036,57 1036,57 1036,57 1036,57 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-19 1 1 1000 1000 1000 1000 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-20 1 1 999,5 999,5 999,5 999,5 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-21 1 1 997,37 997,37 997,37 997,37 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-22 1 1 996,43 996,43 996,43 996,43 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-23 1 1 997,42 997,42 997,42 997,42 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-27 1 1 999,45 999,45 999,45 999,45 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-28 1 1 999,46 999,46 999,46 999,46 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-29 1 1 999,38 999,38 999,38 999,38 831776 Kaupthing Fonder AB Kaupthing Obligation SEK 2005-12-30 1 1 1000,15 1000,15 1000,15 1000,15 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-03 1 1 1001,03 1001,03 1001,03 1001,03 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-04 1 1 1001 1001 1001 1001 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-05 1 1 1000,96 1000,96 1000,96 1000,96 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-07 1 1 1001,24 1001,24 1001,24 1001,24 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-10 1 1 1001,41 1001,41 1001,41 1001,41 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-11 1 1 1001,48 1001,48 1001,48 1001,48 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-12 1 1 1001,53 1001,53 1001,53 1001,53 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-13 1 1 1001,59 1001,59 1001,59 1001,59 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-14 1 1 1001,67 1001,67 1001,67 1001,67 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-17 1 1 1001,81 1001,81 1001,81 1001,81 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-18 1 1 1001,86 1001,86 1001,86 1001,86 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-19 1 1 1001,99 1001,99 1001,99 1001,99 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-20 1 1 1001,99 1001,99 1001,99 1001,99 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-21 1 1 1002,22 1002,22 1002,22 1002,22 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-24 1 1 1002,44 1002,44 1002,44 1002,44 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-25 1 1 1002,49 1002,49 1002,49 1002,49 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-26 1 1 1002,54 1002,54 1002,54 1002,54 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-27 1 1 1002,45 1002,45 1002,45 1002,45 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-28 1 1 1002,7 1002,7 1002,7 1002,7 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-01-31 1 1 1002,78 1002,78 1002,78 1002,78 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-01 1 1 1002,9 1002,9 1002,9 1002,9 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-02 1 1 1002,89 1002,89 1002,89 1002,89 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-03 1 1 1002,87 1002,87 1002,87 1002,87 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-04 1 1 1003,04 1003,04 1003,04 1003,04 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-07 1 1 1003,12 1003,12 1003,12 1003,12 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-08 1 1 1003 1003 1003 1003 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-09 1 1 1003,26 1003,26 1003,26 1003,26 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-10 1 1 1003,49 1003,49 1003,49 1003,49 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-11 1 1 1003,65 1003,65 1003,65 1003,65 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-14 1 1 1003,67 1003,67 1003,67 1003,67 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-15 1 1 1003,64 1003,64 1003,64 1003,64 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-16 1 1 1003,82 1003,82 1003,82 1003,82 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-17 1 1 1004,02 1004,02 1004,02 1004,02 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-18 1 1 1003,76 1003,76 1003,76 1003,76 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-21 1 1 1003,72 1003,72 1003,72 1003,72 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-22 1 1 1003,66 1003,66 1003,66 1003,66 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-23 1 1 1003,83 1003,83 1003,83 1003,83 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-24 1 1 1003,74 1003,74 1003,74 1003,74 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-25 1 1 1003,74 1003,74 1003,74 1003,74 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-02-28 1 1 1003,99 1003,99 1003,99 1003,99 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-01 1 1 1004,11 1004,11 1004,11 1004,11 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-02 1 1 1004,05 1004,05 1004,05 1004,05 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-03 1 1 1004,18 1004,18 1004,18 1004,18 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-04 1 1 1004,45 1004,45 1004,45 1004,45 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-07 1 1 1004,68 1004,68 1004,68 1004,68 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-08 1 1 1004,94 1004,94 1004,94 1004,94 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-09 1 1 1004,98 1004,98 1004,98 1004,98 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-10 1 1 1005,01 1005,01 1005,01 1005,01 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-11 1 1 1004,8 1004,8 1004,8 1004,8 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-14 1 1 1004,94 1004,94 1004,94 1004,94 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-15 1 1 1005,03 1005,03 1005,03 1005,03 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-16 1 1 1004,8 1004,8 1004,8 1004,8 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-17 1 1 1004,81 1004,81 1004,81 1004,81 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-18 1 1 1004,81 1004,81 1004,81 1004,81 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-21 1 1 1004,81 1004,81 1004,81 1004,81 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-22 1 1 1004,9 1004,9 1004,9 1004,9 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-23 1 1 1004,84 1004,84 1004,84 1004,84 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-24 1 1 1004,94 1004,94 1004,94 1004,94 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-29 1 1 1005,16 1005,16 1005,16 1005,16 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-30 1 1 1005,19 1005,19 1005,19 1005,19 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-03-31 1 1 1005,46 1005,46 1005,46 1005,46 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-01 1 1 1005,67 1005,67 1005,67 1005,67 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-04 1 1 1005,79 1005,79 1005,79 1005,79 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-05 1 1 1005,76 1005,76 1005,76 1005,76 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-06 1 1 1005,85 1005,85 1005,85 1005,85 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-07 1 1 1005,88 1005,88 1005,88 1005,88 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-08 1 1 1005,87 1005,87 1005,87 1005,87 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-11 1 1 1006,08 1006,08 1006,08 1006,08 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-12 1 1 1006,1 1006,1 1006,1 1006,1 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-13 1 1 1006,35 1006,35 1006,35 1006,35 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-14 1 1 1006,61 1006,61 1006,61 1006,61 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-15 1 1 1006,97 1006,97 1006,97 1006,97 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-18 1 1 1007,22 1007,22 1007,22 1007,22 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-19 1 1 1007,31 1007,31 1007,31 1007,31 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-20 1 1 1007,3 1007,3 1007,3 1007,3 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-21 1 1 1007,33 1007,33 1007,33 1007,33 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-22 1 1 1007,44 1007,44 1007,44 1007,44 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-25 1 1 1007,61 1007,61 1007,61 1007,61 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-26 1 1 1007,77 1007,77 1007,77 1007,77 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-27 1 1 1008,2 1008,2 1008,2 1008,2 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-28 1 1 1008,46 1008,46 1008,46 1008,46 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-04-29 1 1 1008,75 1008,75 1008,75 1008,75 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-02 1 1 1009 1009 1009 1009 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-03 1 1 1009,28 1009,28 1009,28 1009,28 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-04 1 1 1009,2 1009,2 1009,2 1009,2 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-06 1 1 1009,11 1009,11 1009,11 1009,11 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-09 1 1 1009,27 1009,27 1009,27 1009,27 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-10 1 1 1009,73 1009,73 1009,73 1009,73 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-11 1 1 1009,69 1009,69 1009,69 1009,69 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-12 1 1 1009,56 1009,56 1009,56 1009,56 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-13 1 1 1009,88 1009,88 1009,88 1009,88 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-16 1 1 1010,03 1010,03 1010,03 1010,03 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-17 1 1 1010,18 1010,18 1010,18 1010,18 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-18 1 1 1010,62 1010,62 1010,62 1010,62 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-19 1 1 1010,68 1010,68 1010,68 1010,68 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-20 1 1 1010,4 1010,4 1010,4 1010,4 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-23 1 1 1010,56 1010,56 1010,56 1010,56 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-24 1 1 1010,7 1010,7 1010,7 1010,7 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-25 1 1 1010,76 1010,76 1010,76 1010,76 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-26 1 1 1010,62 1010,62 1010,62 1010,62 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-27 1 1 1010,75 1010,75 1010,75 1010,75 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-30 1 1 1010,64 1010,64 1010,64 1010,64 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-05-31 1 1 1011,06 1011,06 1011,06 1011,06 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-01 1 1 1011,49 1011,49 1011,49 1011,49 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-02 1 1 1011,51 1011,51 1011,51 1011,51 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-03 1 1 1011,75 1011,75 1011,75 1011,75 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-07 1 1 1011,95 1011,95 1011,95 1011,95 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-08 1 1 1012,9 1012,9 1012,9 1012,9 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-09 1 1 1013,09 1013,09 1013,09 1013,09 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-10 1 1 1013,08 1013,08 1013,08 1013,08 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-13 1 1 1013,19 1013,19 1013,19 1013,19 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-14 1 1 1013,13 1013,13 1013,13 1013,13 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-15 1 1 1013,32 1013,32 1013,32 1013,32 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-16 1 1 1013,46 1013,46 1013,46 1013,46 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-17 1 1 1013,66 1013,66 1013,66 1013,66 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-20 1 1 1013,79 1013,79 1013,79 1013,79 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-21 1 1 1014,76 1014,76 1014,76 1014,76 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-22 1 1 1015,06 1015,06 1015,06 1015,06 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-23 1 1 1014,94 1014,94 1014,94 1014,94 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-27 1 1 1015,06 1015,06 1015,06 1015,06 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-28 1 1 1014,94 1014,94 1014,94 1014,94 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-29 1 1 1015,05 1015,05 1015,05 1015,05 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-06-30 1 1 1015,01 1015,01 1015,01 1015,01 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-01 1 1 1015,02 1015,02 1015,02 1015,02 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-04 1 1 1014,92 1014,92 1014,92 1014,92 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-05 1 1 1014,81 1014,81 1014,81 1014,81 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-06 1 1 1014,95 1014,95 1014,95 1014,95 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-07 1 1 1015,25 1015,25 1015,25 1015,25 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-08 1 1 1015,25 1015,25 1015,25 1015,25 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-11 1 1 1015,19 1015,19 1015,19 1015,19 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-12 1 1 1015,14 1015,14 1015,14 1015,14 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-13 1 1 1015,13 1015,13 1015,13 1015,13 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-14 1 1 1015,13 1015,13 1015,13 1015,13 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-15 1 1 1015,13 1015,13 1015,13 1015,13 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-18 1 1 1015,27 1015,27 1015,27 1015,27 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-19 1 1 1015,26 1015,26 1015,26 1015,26 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-20 1 1 1015,29 1015,29 1015,29 1015,29 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-21 1 1 1015,37 1015,37 1015,37 1015,37 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-22 1 1 1015,48 1015,48 1015,48 1015,48 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-25 1 1 1015,56 1015,56 1015,56 1015,56 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-26 1 1 1015,56 1015,56 1015,56 1015,56 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-27 1 1 1015,67 1015,67 1015,67 1015,67 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-28 1 1 1015,49 1015,49 1015,49 1015,49 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-07-29 1 1 1015,24 1015,24 1015,24 1015,24 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-01 1 1 1014,92 1014,92 1014,92 1014,92 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-02 1 1 1014,8 1014,8 1014,8 1014,8 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-03 1 1 1014,66 1014,66 1014,66 1014,66 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-04 1 1 1014,81 1014,81 1014,81 1014,81 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-05 1 1 1014,6 1014,6 1014,6 1014,6 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-08 1 1 1014,68 1014,68 1014,68 1014,68 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-09 1 1 1014,8 1014,8 1014,8 1014,8 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-10 1 1 1014,92 1014,92 1014,92 1014,92 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-11 1 1 1015,04 1015,04 1015,04 1015,04 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-12 1 1 1015,13 1015,13 1015,13 1015,13 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-15 1 1 1015,25 1015,25 1015,25 1015,25 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-16 1 1 1015,3 1015,3 1015,3 1015,3 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-17 1 1 1015,27 1015,27 1015,27 1015,27 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-18 1 1 1015,27 1015,27 1015,27 1015,27 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-19 1 1 1015,28 1015,28 1015,28 1015,28 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-22 1 1 1015,29 1015,29 1015,29 1015,29 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-23 1 1 1015,45 1015,45 1015,45 1015,45 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-24 1 1 1015,36 1015,36 1015,36 1015,36 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-25 1 1 1015,4 1015,4 1015,4 1015,4 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-26 1 1 1015,26 1015,26 1015,26 1015,26 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-29 1 1 1015,14 1015,14 1015,14 1015,14 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-30 1 1 1015,17 1015,17 1015,17 1015,17 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-08-31 1 1 1015,4 1015,4 1015,4 1015,4 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-01 1 1 1015,58 1015,58 1015,58 1015,58 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-02 1 1 1015,79 1015,79 1015,79 1015,79 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-05 1 1 1015,91 1015,91 1015,91 1015,91 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-06 1 1 1015,85 1015,85 1015,85 1015,85 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-07 1 1 1015,88 1015,88 1015,88 1015,88 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-08 1 1 1016 1016 1016 1016 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-09 1 1 1016,02 1016,02 1016,02 1016,02 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-12 1 1 1015,84 1015,84 1015,84 1015,84 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-13 1 1 1015,89 1015,89 1015,89 1015,89 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-14 1 1 1015,84 1015,84 1015,84 1015,84 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-15 1 1 1015,88 1015,88 1015,88 1015,88 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-16 1 1 1015,84 1015,84 1015,84 1015,84 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-19 1 1 1015,99 1015,99 1015,99 1015,99 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-20 1 1 1016,2 1016,2 1016,2 1016,2 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-21 1 1 1016,35 1016,35 1016,35 1016,35 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-22 1 1 1016,35 1016,35 1016,35 1016,35 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-23 1 1 1016,21 1016,21 1016,21 1016,21 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-26 1 1 1016,22 1016,22 1016,22 1016,22 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-27 1 1 1016,26 1016,26 1016,26 1016,26 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-28 1 1 1016,2 1016,2 1016,2 1016,2 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-29 1 1 1015,92 1015,92 1015,92 1015,92 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-09-30 1 1 1015,76 1015,76 1015,76 1015,76 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-03 1 1 1015,58 1015,58 1015,58 1015,58 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-04 1 1 1015,73 1015,73 1015,73 1015,73 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-05 1 1 1015,67 1015,67 1015,67 1015,67 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-06 1 1 1015,68 1015,68 1015,68 1015,68 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-07 1 1 1015,73 1015,73 1015,73 1015,73 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-10 1 1 1015,72 1015,72 1015,72 1015,72 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-11 1 1 1015,7 1015,7 1015,7 1015,7 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-12 1 1 1015,69 1015,69 1015,69 1015,69 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-13 1 1 1016,14 1016,14 1016,14 1016,14 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-14 1 1 1016,17 1016,17 1016,17 1016,17 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-17 1 1 1016,22 1016,22 1016,22 1016,22 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-18 1 1 1016,25 1016,25 1016,25 1016,25 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-19 1 1 1016,51 1016,51 1016,51 1016,51 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-20 1 1 1016,71 1016,71 1016,71 1016,71 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-21 1 1 1016,86 1016,86 1016,86 1016,86 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-24 1 1 1016,94 1016,94 1016,94 1016,94 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-25 1 1 1016,78 1016,78 1016,78 1016,78 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-26 1 1 1016,54 1016,54 1016,54 1016,54 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-27 1 1 1016,51 1016,51 1016,51 1016,51 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-28 1 1 1016,49 1016,49 1016,49 1016,49 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-10-31 1 1 1016,49 1016,49 1016,49 1016,49 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-01 1 1 1016,44 1016,44 1016,44 1016,44 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-02 1 1 1016,28 1016,28 1016,28 1016,28 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-03 1 1 1016,27 1016,27 1016,27 1016,27 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-04 1 1 1016,13 1016,13 1016,13 1016,13 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-07 1 1 1016,03 1016,03 1016,03 1016,03 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-08 1 1 1016,11 1016,11 1016,11 1016,11 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-09 1 1 1016,01 1016,01 1016,01 1016,01 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-10 1 1 1016,24 1016,24 1016,24 1016,24 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-11 1 1 1016,28 1016,28 1016,28 1016,28 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-14 1 1 1016,42 1016,42 1016,42 1016,42 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-15 1 1 1016,38 1016,38 1016,38 1016,38 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-16 1 1 1016,57 1016,57 1016,57 1016,57 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-17 1 1 1016,44 1016,44 1016,44 1016,44 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-18 1 1 1016,17 1016,17 1016,17 1016,17 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-21 1 1 1016,47 1016,47 1016,47 1016,47 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-22 1 1 1016,38 1016,38 1016,38 1016,38 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-23 1 1 1016,54 1016,54 1016,54 1016,54 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-24 1 1 1016,8 1016,8 1016,8 1016,8 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-25 1 1 1016,5 1016,5 1016,5 1016,5 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-28 1 1 1016,58 1016,58 1016,58 1016,58 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-29 1 1 1016,55 1016,55 1016,55 1016,55 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-11-30 1 1 1016,45 1016,45 1016,45 1016,45 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-01 1 1 1016,59 1016,59 1016,59 1016,59 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-02 1 1 1016,1 1016,1 1016,1 1016,1 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-05 1 1 1015,87 1015,87 1015,87 1015,87 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-06 1 1 1015,77 1015,77 1015,77 1015,77 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-07 1 1 1015,94 1015,94 1015,94 1015,94 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-08 1 1 1015,81 1015,81 1015,81 1015,81 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-12 1 1 1015,93 1015,93 1015,93 1015,93 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-13 1 1 1016,11 1016,11 1016,11 1016,11 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-14 1 1 1016,31 1016,31 1016,31 1016,31 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-15 1 1 1016,22 1016,22 1016,22 1016,22 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-16 1 1 1016,16 1016,16 1016,16 1016,16 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-19 1 1 1000 1000 1000 1000 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-20 1 1 1000,08 1000,08 1000,08 1000,08 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-21 1 1 1000,06 1000,06 1000,06 1000,06 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-22 1 1 1000,04 1000,04 1000,04 1000,04 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-23 1 1 1000,04 1000,04 1000,04 1000,04 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-27 1 1 1000,22 1000,22 1000,22 1000,22 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-28 1 1 1000,23 1000,23 1000,23 1000,23 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-29 1 1 1000,16 1000,16 1000,16 1000,16 867606 Kaupthing Fonder AB Kaupthing Penningmarknad SEK 2005-12-30 1 1 1000,14 1000,14 1000,14 1000,14 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-03 1 1 29,97 29,97 29,97 29,97 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-04 1 1 29,91 29,91 29,91 29,91 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-05 1 1 29,88 29,88 29,88 29,88 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-07 1 1 29,86 29,86 29,86 29,86 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-10 1 1 30,08 30,08 30,08 30,08 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-11 1 1 30,08 30,08 30,08 30,08 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-12 1 1 29,92 29,92 29,92 29,92 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-13 1 1 30,03 30,03 30,03 30,03 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-14 1 1 30,04 30,04 30,04 30,04 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-17 1 1 30,1 30,1 30,1 30,1 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-18 1 1 30,06 30,06 30,06 30,06 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-19 1 1 30,27 30,27 30,27 30,27 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-20 1 1 30,03 30,03 30,03 30,03 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-21 1 1 29,99 29,99 29,99 29,99 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-24 1 1 29,77 29,77 29,77 29,77 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-25 1 1 30,11 30,11 30,11 30,11 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-26 1 1 30,21 30,21 30,21 30,21 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-27 1 1 30,13 30,13 30,13 30,13 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-28 1 1 30,11 30,11 30,11 30,11 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-01-31 1 1 30,23 30,23 30,23 30,23 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-01 1 1 30,47 30,47 30,47 30,47 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-02 1 1 30,66 30,66 30,66 30,66 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-03 1 1 30,63 30,63 30,63 30,63 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-04 1 1 30,82 30,82 30,82 30,82 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-07 1 1 31,15 31,15 31,15 31,15 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-08 1 1 31,31 31,31 31,31 31,31 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-09 1 1 31,39 31,39 31,39 31,39 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-10 1 1 31,08 31,08 31,08 31,08 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-11 1 1 31,17 31,17 31,17 31,17 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-14 1 1 31,32 31,32 31,32 31,32 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-15 1 1 31,52 31,52 31,52 31,52 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-16 1 1 31,48 31,48 31,48 31,48 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-17 1 1 31,69 31,69 31,69 31,69 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-18 1 1 31,69 31,69 31,69 31,69 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-21 1 1 31,69 31,69 31,69 31,69 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-22 1 1 31,47 31,47 31,47 31,47 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-23 1 1 31,56 31,56 31,56 31,56 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-24 1 1 31,75 31,75 31,75 31,75 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-25 1 1 31,98 31,98 31,98 31,98 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-02-28 1 1 32,18 32,18 32,18 32,18 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-01 1 1 32,26 32,26 32,26 32,26 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-02 1 1 32,44 32,44 32,44 32,44 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-03 1 1 32,56 32,56 32,56 32,56 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-04 1 1 32,79 32,79 32,79 32,79 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-07 1 1 32,75 32,75 32,75 32,75 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-08 1 1 32,74 32,74 32,74 32,74 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-09 1 1 32,68 32,68 32,68 32,68 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-10 1 1 32,57 32,57 32,57 32,57 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-11 1 1 32,7 32,7 32,7 32,7 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-14 1 1 32,67 32,67 32,67 32,67 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-15 1 1 32,72 32,72 32,72 32,72 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-16 1 1 32,58 32,58 32,58 32,58 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-17 1 1 32,55 32,55 32,55 32,55 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-18 1 1 32,56 32,56 32,56 32,56 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-21 1 1 32,46 32,46 32,46 32,46 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-22 1 1 32,15 32,15 32,15 32,15 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-23 1 1 32,04 32,04 32,04 32,04 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-24 1 1 32,22 32,22 32,22 32,22 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-29 1 1 32,19 32,19 32,19 32,19 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-30 1 1 31,99 31,99 31,99 31,99 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-03-31 1 1 32,23 32,23 32,23 32,23 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-01 1 1 32,44 32,44 32,44 32,44 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-04 1 1 32,46 32,46 32,46 32,46 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-05 1 1 32,74 32,74 32,74 32,74 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-06 1 1 33 33 33 33 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-07 1 1 32,98 32,98 32,98 32,98 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-08 1 1 33,12 33,12 33,12 33,12 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-11 1 1 33,13 33,13 33,13 33,13 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-12 1 1 33,06 33,06 33,06 33,06 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-13 1 1 33,34 33,34 33,34 33,34 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-14 1 1 33,32 33,32 33,32 33,32 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-15 1 1 32,79 32,79 32,79 32,79 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-18 1 1 32,17 32,17 32,17 32,17 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-19 1 1 32,46 32,46 32,46 32,46 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-20 1 1 32,5 32,5 32,5 32,5 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-21 1 1 32,31 32,31 32,31 32,31 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-22 1 1 32,37 32,37 32,37 32,37 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-25 1 1 32,16 32,16 32,16 32,16 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-26 1 1 31,92 31,92 31,92 31,92 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-27 1 1 31,11 31,11 31,11 31,11 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-28 1 1 30,54 30,54 30,54 30,54 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-04-29 1 1 30,66 30,66 30,66 30,66 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-02 1 1 30,92 30,92 30,92 30,92 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-03 1 1 30,91 30,91 30,91 30,91 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-04 1 1 30,79 30,79 30,79 30,79 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-06 1 1 31,01 31,01 31,01 31,01 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-09 1 1 30,95 30,95 30,95 30,95 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-10 1 1 30,73 30,73 30,73 30,73 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-11 1 1 30,65 30,65 30,65 30,65 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-12 1 1 30,85 30,85 30,85 30,85 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-13 1 1 30,88 30,88 30,88 30,88 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-16 1 1 30,97 30,97 30,97 30,97 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-17 1 1 31,07 31,07 31,07 31,07 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-18 1 1 31,46 31,46 31,46 31,46 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-19 1 1 31,6 31,6 31,6 31,6 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-20 1 1 31,65 31,65 31,65 31,65 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-23 1 1 31,64 31,64 31,64 31,64 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-24 1 1 31,69 31,69 31,69 31,69 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-25 1 1 31,69 31,69 31,69 31,69 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-26 1 1 32,03 32,03 32,03 32,03 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-27 1 1 32,13 32,13 32,13 32,13 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-30 1 1 32,27 32,27 32,27 32,27 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-05-31 1 1 32,37 32,37 32,37 32,37 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-01 1 1 32,27 32,27 32,27 32,27 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-02 1 1 32,19 32,19 32,19 32,19 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-03 1 1 32,26 32,26 32,26 32,26 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-07 1 1 32,46 32,46 32,46 32,46 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-08 1 1 32,68 32,68 32,68 32,68 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-09 1 1 32,7 32,7 32,7 32,7 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-10 1 1 32,82 32,82 32,82 32,82 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-13 1 1 32,99 32,99 32,99 32,99 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-14 1 1 33,13 33,13 33,13 33,13 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-15 1 1 33,04 33,04 33,04 33,04 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-16 1 1 32,94 32,94 32,94 32,94 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-17 1 1 33,08 33,08 33,08 33,08 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-20 1 1 33,12 33,12 33,12 33,12 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-21 1 1 33,15 33,15 33,15 33,15 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-22 1 1 33,34 33,34 33,34 33,34 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-23 1 1 33,32 33,32 33,32 33,32 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-27 1 1 32,93 32,93 32,93 32,93 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-28 1 1 33,2 33,2 33,2 33,2 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-29 1 1 33,35 33,35 33,35 33,35 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-06-30 1 1 33,56 33,56 33,56 33,56 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-01 1 1 33,52 33,52 33,52 33,52 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-04 1 1 33,63 33,63 33,63 33,63 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-05 1 1 33,79 33,79 33,79 33,79 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-06 1 1 33,79 33,79 33,79 33,79 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-07 1 1 33,22 33,22 33,22 33,22 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-08 1 1 33,63 33,63 33,63 33,63 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-11 1 1 33,98 33,98 33,98 33,98 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-12 1 1 34,06 34,06 34,06 34,06 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-13 1 1 34,12 34,12 34,12 34,12 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-14 1 1 33,93 33,93 33,93 33,93 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-15 1 1 33,86 33,86 33,86 33,86 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-18 1 1 33,8 33,8 33,8 33,8 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-19 1 1 33,8 33,8 33,8 33,8 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-20 1 1 33,94 33,94 33,94 33,94 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-21 1 1 34,3 34,3 34,3 34,3 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-22 1 1 34,48 34,48 34,48 34,48 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-25 1 1 34,43 34,43 34,43 34,43 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-26 1 1 34,38 34,38 34,38 34,38 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-27 1 1 34,57 34,57 34,57 34,57 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-28 1 1 34,83 34,83 34,83 34,83 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-07-29 1 1 34,85 34,85 34,85 34,85 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-01 1 1 34,98 34,98 34,98 34,98 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-02 1 1 35,16 35,16 35,16 35,16 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-03 1 1 35,25 35,25 35,25 35,25 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-04 1 1 35,13 35,13 35,13 35,13 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-05 1 1 35,12 35,12 35,12 35,12 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-08 1 1 35,16 35,16 35,16 35,16 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-09 1 1 35,25 35,25 35,25 35,25 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-10 1 1 35,27 35,27 35,27 35,27 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-11 1 1 35,07 35,07 35,07 35,07 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-12 1 1 35,12 35,12 35,12 35,12 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-15 1 1 35,16 35,16 35,16 35,16 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-16 1 1 35,28 35,28 35,28 35,28 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-17 1 1 35,2 35,2 35,2 35,2 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-18 1 1 35,11 35,11 35,11 35,11 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-19 1 1 35,32 35,32 35,32 35,32 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-22 1 1 35,56 35,56 35,56 35,56 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-23 1 1 35,43 35,43 35,43 35,43 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-24 1 1 34,81 34,81 34,81 34,81 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-25 1 1 34,6 34,6 34,6 34,6 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-26 1 1 34,6 34,6 34,6 34,6 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-29 1 1 34,53 34,53 34,53 34,53 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-30 1 1 34,76 34,76 34,76 34,76 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-08-31 1 1 35 35 35 35 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-01 1 1 35,3 35,3 35,3 35,3 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-02 1 1 35,1 35,1 35,1 35,1 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-05 1 1 35,29 35,29 35,29 35,29 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-06 1 1 35,48 35,48 35,48 35,48 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-07 1 1 35,67 35,67 35,67 35,67 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-08 1 1 35,58 35,58 35,58 35,58 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-09 1 1 35,79 35,79 35,79 35,79 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-12 1 1 35,73 35,73 35,73 35,73 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-13 1 1 35,56 35,56 35,56 35,56 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-14 1 1 35,62 35,62 35,62 35,62 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-15 1 1 35,65 35,65 35,65 35,65 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-16 1 1 35,62 35,62 35,62 35,62 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-19 1 1 35,98 35,98 35,98 35,98 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-20 1 1 35,76 35,76 35,76 35,76 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-21 1 1 35,68 35,68 35,68 35,68 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-22 1 1 35,54 35,54 35,54 35,54 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-23 1 1 35,64 35,64 35,64 35,64 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-26 1 1 35,92 35,92 35,92 35,92 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-27 1 1 36,2 36,2 36,2 36,2 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-28 1 1 36,37 36,37 36,37 36,37 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-29 1 1 36,29 36,29 36,29 36,29 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-09-30 1 1 36,55 36,55 36,55 36,55 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-03 1 1 36,62 36,62 36,62 36,62 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-04 1 1 36,55 36,55 36,55 36,55 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-05 1 1 36,43 36,43 36,43 36,43 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-06 1 1 35,98 35,98 35,98 35,98 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-07 1 1 36,04 36,04 36,04 36,04 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-10 1 1 36,18 36,18 36,18 36,18 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-11 1 1 36,45 36,45 36,45 36,45 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-12 1 1 36,24 36,24 36,24 36,24 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-13 1 1 35,65 35,65 35,65 35,65 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-14 1 1 35,47 35,47 35,47 35,47 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-17 1 1 35,57 35,57 35,57 35,57 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-18 1 1 35,49 35,49 35,49 35,49 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-19 1 1 34,57 34,57 34,57 34,57 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-20 1 1 34,84 34,84 34,84 34,84 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-21 1 1 34,34 34,34 34,34 34,34 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-24 1 1 35,07 35,07 35,07 35,07 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-25 1 1 35,45 35,45 35,45 35,45 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-26 1 1 35,49 35,49 35,49 35,49 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-27 1 1 35,47 35,47 35,47 35,47 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-28 1 1 35,31 35,31 35,31 35,31 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-10-31 1 1 35,92 35,92 35,92 35,92 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-01 1 1 36,15 36,15 36,15 36,15 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-02 1 1 36,36 36,36 36,36 36,36 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-03 1 1 36,85 36,85 36,85 36,85 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-04 1 1 36,86 36,86 36,86 36,86 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-07 1 1 37,04 37,04 37,04 37,04 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-08 1 1 37,09 37,09 37,09 37,09 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-09 1 1 37,19 37,19 37,19 37,19 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-10 1 1 37,43 37,43 37,43 37,43 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-11 1 1 37,57 37,57 37,57 37,57 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-14 1 1 37,7 37,7 37,7 37,7 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-15 1 1 37,7 37,7 37,7 37,7 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-16 1 1 37,66 37,66 37,66 37,66 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-17 1 1 37,91 37,91 37,91 37,91 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-18 1 1 38,17 38,17 38,17 38,17 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-21 1 1 38,13 38,13 38,13 38,13 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-22 1 1 38,33 38,33 38,33 38,33 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-23 1 1 38,37 38,37 38,37 38,37 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-24 1 1 38,42 38,42 38,42 38,42 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-25 1 1 38,59 38,59 38,59 38,59 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-28 1 1 38,59 38,59 38,59 38,59 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-29 1 1 38,68 38,68 38,68 38,68 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-11-30 1 1 38,74 38,74 38,74 38,74 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-01 1 1 39,04 39,04 39,04 39,04 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-02 1 1 39,19 39,19 39,19 39,19 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-05 1 1 39,23 39,23 39,23 39,23 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-06 1 1 39,32 39,32 39,32 39,32 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-07 1 1 39,66 39,66 39,66 39,66 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-08 1 1 39,68 39,68 39,68 39,68 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-12 1 1 40,08 40,08 40,08 40,08 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-13 1 1 40,16 40,16 40,16 40,16 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-14 1 1 40,11 40,11 40,11 40,11 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-15 1 1 39,99 39,99 39,99 39,99 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-16 1 1 40,32 40,32 40,32 40,32 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-19 1 1 40,42 40,42 40,42 40,42 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-20 1 1 40,44 40,44 40,44 40,44 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-21 1 1 40,73 40,73 40,73 40,73 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-22 1 1 41,07 41,07 41,07 41,07 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-23 1 1 41,27 41,27 41,27 41,27 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-27 1 1 41,54 41,54 41,54 41,54 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-28 1 1 41,54 41,54 41,54 41,54 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-29 1 1 41,8 41,8 41,8 41,8 903435 Kaupthing Fonder AB Kaupthing Småbolag SEK 2005-12-30 1 1 41,92 41,92 41,92 41,92 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-03 1 1 125,04 125,04 125,04 125,04 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-04 1 1 126,01 126,01 126,01 126,01 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-05 1 1 124,5 124,5 124,5 124,5 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-07 1 1 124,71 124,71 124,71 124,71 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-10 1 1 126,41 126,41 126,41 126,41 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-11 1 1 125,17 125,17 125,17 125,17 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-12 1 1 122,97 122,97 122,97 122,97 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-13 1 1 123,11 123,11 123,11 123,11 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-14 1 1 123,71 123,71 123,71 123,71 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-17 1 1 124,94 124,94 124,94 124,94 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-18 1 1 123,86 123,86 123,86 123,86 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-19 1 1 124,69 124,69 124,69 124,69 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-20 1 1 123,38 123,38 123,38 123,38 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-21 1 1 122,86 122,86 122,86 122,86 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-24 1 1 121,34 121,34 121,34 121,34 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-25 1 1 122,73 122,73 122,73 122,73 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-26 1 1 123,18 123,18 123,18 123,18 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-27 1 1 123,65 123,65 123,65 123,65 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-28 1 1 123,15 123,15 123,15 123,15 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-01-31 1 1 124,13 124,13 124,13 124,13 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-01 1 1 124,6 124,6 124,6 124,6 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-02 1 1 125,46 125,46 125,46 125,46 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-03 1 1 125,19 125,19 125,19 125,19 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-04 1 1 126,09 126,09 126,09 126,09 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-07 1 1 127,35 127,35 127,35 127,35 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-08 1 1 127,7 127,7 127,7 127,7 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-09 1 1 128,04 128,04 128,04 128,04 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-10 1 1 126,3 126,3 126,3 126,3 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-11 1 1 127,65 127,65 127,65 127,65 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-14 1 1 128,01 128,01 128,01 128,01 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-15 1 1 128,98 128,98 128,98 128,98 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-16 1 1 127,29 127,29 127,29 127,29 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-17 1 1 127,65 127,65 127,65 127,65 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-18 1 1 127,29 127,29 127,29 127,29 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-21 1 1 127,55 127,55 127,55 127,55 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-22 1 1 126,75 126,75 126,75 126,75 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-23 1 1 126,94 126,94 126,94 126,94 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-24 1 1 127,49 127,49 127,49 127,49 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-25 1 1 128,29 128,29 128,29 128,29 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-02-28 1 1 128,73 128,73 128,73 128,73 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-01 1 1 129,26 129,26 129,26 129,26 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-02 1 1 129,21 129,21 129,21 129,21 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-03 1 1 130,21 130,21 130,21 130,21 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-04 1 1 130,82 130,82 130,82 130,82 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-07 1 1 130,65 130,65 130,65 130,65 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-08 1 1 129,69 129,69 129,69 129,69 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-09 1 1 129,55 129,55 129,55 129,55 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-10 1 1 128,46 128,46 128,46 128,46 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-11 1 1 129,06 129,06 129,06 129,06 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-14 1 1 128,86 128,86 128,86 128,86 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-15 1 1 129,68 129,68 129,68 129,68 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-16 1 1 128,51 128,51 128,51 128,51 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-17 1 1 127,84 127,84 127,84 127,84 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-18 1 1 127,98 127,98 127,98 127,98 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-21 1 1 127,32 127,32 127,32 127,32 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-22 1 1 124,48 124,48 124,48 124,48 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-23 1 1 124,36 124,36 124,36 124,36 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-24 1 1 125,13 125,13 125,13 125,13 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-29 1 1 125,32 125,32 125,32 125,32 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-30 1 1 124,48 124,48 124,48 124,48 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-03-31 1 1 125,42 125,42 125,42 125,42 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-01 1 1 126,31 126,31 126,31 126,31 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-04 1 1 125,63 125,63 125,63 125,63 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-05 1 1 127,07 127,07 127,07 127,07 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-06 1 1 127,93 127,93 127,93 127,93 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-07 1 1 128,22 128,22 128,22 128,22 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-08 1 1 128,8 128,8 128,8 128,8 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-11 1 1 129,44 129,44 129,44 129,44 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-12 1 1 129,07 129,07 129,07 129,07 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-13 1 1 130,01 130,01 130,01 130,01 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-14 1 1 130,63 130,63 130,63 130,63 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-15 1 1 128,73 128,73 128,73 128,73 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-18 1 1 127,29 127,29 127,29 127,29 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-19 1 1 127,54 127,54 127,54 127,54 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-20 1 1 127,58 127,58 127,58 127,58 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-21 1 1 127,57 127,57 127,57 127,57 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-22 1 1 129,24 129,24 129,24 129,24 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-25 1 1 129,11 129,11 129,11 129,11 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-26 1 1 128 128 128 128 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-27 1 1 125,4 125,4 125,4 125,4 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-28 1 1 124,57 124,57 124,57 124,57 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-04-29 1 1 124,95 124,95 124,95 124,95 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-02 1 1 126,09 126,09 126,09 126,09 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-03 1 1 126,02 126,02 126,02 126,02 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-04 1 1 126,23 126,23 126,23 126,23 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-06 1 1 127,86 127,86 127,86 127,86 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-09 1 1 127,96 127,96 127,96 127,96 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-10 1 1 127,4 127,4 127,4 127,4 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-11 1 1 127,79 127,79 127,79 127,79 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-12 1 1 128,62 128,62 128,62 128,62 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-13 1 1 128,85 128,85 128,85 128,85 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-16 1 1 129,06 129,06 129,06 129,06 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-17 1 1 129,53 129,53 129,53 129,53 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-18 1 1 130,48 130,48 130,48 130,48 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-19 1 1 130,85 130,85 130,85 130,85 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-20 1 1 131,1 131,1 131,1 131,1 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-23 1 1 130,98 130,98 130,98 130,98 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-24 1 1 130,93 130,93 130,93 130,93 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-25 1 1 130,94 130,94 130,94 130,94 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-26 1 1 131,78 131,78 131,78 131,78 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-27 1 1 131,85 131,85 131,85 131,85 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-30 1 1 132,26 132,26 132,26 132,26 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-05-31 1 1 132,76 132,76 132,76 132,76 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-01 1 1 132,77 132,77 132,77 132,77 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-02 1 1 131,97 131,97 131,97 131,97 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-03 1 1 131,42 131,42 131,42 131,42 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-07 1 1 132,4 132,4 132,4 132,4 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-08 1 1 132,88 132,88 132,88 132,88 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-09 1 1 132,85 132,85 132,85 132,85 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-10 1 1 133,32 133,32 133,32 133,32 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-13 1 1 133,21 133,21 133,21 133,21 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-14 1 1 134,73 134,73 134,73 134,73 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-15 1 1 134,58 134,58 134,58 134,58 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-16 1 1 134,93 134,93 134,93 134,93 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-17 1 1 135,17 135,17 135,17 135,17 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-20 1 1 135,11 135,11 135,11 135,11 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-21 1 1 136,04 136,04 136,04 136,04 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-22 1 1 136,54 136,54 136,54 136,54 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-23 1 1 137,81 137,81 137,81 137,81 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-27 1 1 135,31 135,31 135,31 135,31 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-28 1 1 135,92 135,92 135,92 135,92 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-29 1 1 136,82 136,82 136,82 136,82 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-06-30 1 1 137,32 137,32 137,32 137,32 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-01 1 1 137,85 137,85 137,85 137,85 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-04 1 1 138,8 138,8 138,8 138,8 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-05 1 1 138,65 138,65 138,65 138,65 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-06 1 1 138,81 138,81 138,81 138,81 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-07 1 1 136,32 136,32 136,32 136,32 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-08 1 1 138,41 138,41 138,41 138,41 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-11 1 1 140,6 140,6 140,6 140,6 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-12 1 1 140,67 140,67 140,67 140,67 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-13 1 1 141,77 141,77 141,77 141,77 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-14 1 1 141,72 141,72 141,72 141,72 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-15 1 1 141,39 141,39 141,39 141,39 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-18 1 1 141,48 141,48 141,48 141,48 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-19 1 1 141,96 141,96 141,96 141,96 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-20 1 1 140,94 140,94 140,94 140,94 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-21 1 1 141,93 141,93 141,93 141,93 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-22 1 1 142,4 142,4 142,4 142,4 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-25 1 1 141,93 141,93 141,93 141,93 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-26 1 1 143,06 143,06 143,06 143,06 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-27 1 1 143,27 143,27 143,27 143,27 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-28 1 1 144,42 144,42 144,42 144,42 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-07-29 1 1 144,23 144,23 144,23 144,23 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-01 1 1 143,98 143,98 143,98 143,98 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-02 1 1 144,88 144,88 144,88 144,88 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-03 1 1 144,35 144,35 144,35 144,35 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-04 1 1 143,89 143,89 143,89 143,89 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-05 1 1 143,74 143,74 143,74 143,74 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-08 1 1 143,48 143,48 143,48 143,48 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-09 1 1 143,56 143,56 143,56 143,56 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-10 1 1 145,68 145,68 145,68 145,68 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-11 1 1 145,17 145,17 145,17 145,17 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-12 1 1 144,45 144,45 144,45 144,45 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-15 1 1 144,31 144,31 144,31 144,31 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-16 1 1 144,6 144,6 144,6 144,6 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-17 1 1 143,3 143,3 143,3 143,3 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-18 1 1 143,6 143,6 143,6 143,6 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-19 1 1 144,6 144,6 144,6 144,6 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-22 1 1 144,56 144,56 144,56 144,56 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-23 1 1 143,52 143,52 143,52 143,52 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-24 1 1 141,51 141,51 141,51 141,51 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-25 1 1 140,3 140,3 140,3 140,3 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-26 1 1 139,14 139,14 139,14 139,14 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-29 1 1 140,03 140,03 140,03 140,03 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-30 1 1 140,32 140,32 140,32 140,32 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-08-31 1 1 140,94 140,94 140,94 140,94 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-01 1 1 142,17 142,17 142,17 142,17 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-02 1 1 141,94 141,94 141,94 141,94 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-05 1 1 142,83 142,83 142,83 142,83 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-06 1 1 143,82 143,82 143,82 143,82 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-07 1 1 143,75 143,75 143,75 143,75 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-08 1 1 143,56 143,56 143,56 143,56 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-09 1 1 144,49 144,49 144,49 144,49 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-12 1 1 145,1 145,1 145,1 145,1 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-13 1 1 145 145 145 145 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-14 1 1 145,69 145,69 145,69 145,69 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-15 1 1 145,03 145,03 145,03 145,03 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-16 1 1 145,59 145,59 145,59 145,59 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-19 1 1 145,72 145,72 145,72 145,72 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-20 1 1 145,66 145,66 145,66 145,66 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-21 1 1 144,46 144,46 144,46 144,46 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-22 1 1 144,38 144,38 144,38 144,38 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-23 1 1 144,83 144,83 144,83 144,83 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-26 1 1 146,76 146,76 146,76 146,76 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-27 1 1 147,15 147,15 147,15 147,15 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-28 1 1 148,05 148,05 148,05 148,05 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-29 1 1 148,21 148,21 148,21 148,21 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-09-30 1 1 149,59 149,59 149,59 149,59 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-03 1 1 150,53 150,53 150,53 150,53 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-04 1 1 150,58 150,58 150,58 150,58 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-05 1 1 149,4 149,4 149,4 149,4 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-06 1 1 148,22 148,22 148,22 148,22 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-07 1 1 147,97 147,97 147,97 147,97 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-10 1 1 148,55 148,55 148,55 148,55 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-11 1 1 148,76 148,76 148,76 148,76 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-12 1 1 147,55 147,55 147,55 147,55 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-13 1 1 145,75 145,75 145,75 145,75 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-14 1 1 145,89 145,89 145,89 145,89 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-17 1 1 145,84 145,84 145,84 145,84 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-18 1 1 144,97 144,97 144,97 144,97 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-19 1 1 143,19 143,19 143,19 143,19 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-20 1 1 143,74 143,74 143,74 143,74 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-21 1 1 142,59 142,59 142,59 142,59 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-24 1 1 144,07 144,07 144,07 144,07 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-25 1 1 145,28 145,28 145,28 145,28 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-26 1 1 145,81 145,81 145,81 145,81 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-27 1 1 144,35 144,35 144,35 144,35 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-28 1 1 143,55 143,55 143,55 143,55 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-10-31 1 1 146,82 146,82 146,82 146,82 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-01 1 1 147,44 147,44 147,44 147,44 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-02 1 1 147,61 147,61 147,61 147,61 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-03 1 1 149,19 149,19 149,19 149,19 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-04 1 1 149,41 149,41 149,41 149,41 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-07 1 1 150,2 150,2 150,2 150,2 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-08 1 1 149,93 149,93 149,93 149,93 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-09 1 1 150,04 150,04 150,04 150,04 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-10 1 1 150,21 150,21 150,21 150,21 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-11 1 1 152,12 152,12 152,12 152,12 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-14 1 1 152,59 152,59 152,59 152,59 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-15 1 1 151,85 151,85 151,85 151,85 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-16 1 1 151,9 151,9 151,9 151,9 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-17 1 1 152,6 152,6 152,6 152,6 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-18 1 1 153,2 153,2 153,2 153,2 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-21 1 1 153,28 153,28 153,28 153,28 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-22 1 1 152,99 152,99 152,99 152,99 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-23 1 1 153,32 153,32 153,32 153,32 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-24 1 1 152,68 152,68 152,68 152,68 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-25 1 1 153,21 153,21 153,21 153,21 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-28 1 1 153,63 153,63 153,63 153,63 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-29 1 1 153,41 153,41 153,41 153,41 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-11-30 1 1 152,15 152,15 152,15 152,15 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-01 1 1 153,82 153,82 153,82 153,82 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-02 1 1 155,55 155,55 155,55 155,55 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-05 1 1 155,08 155,08 155,08 155,08 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-06 1 1 156,18 156,18 156,18 156,18 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-07 1 1 156,23 156,23 156,23 156,23 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-08 1 1 156,53 156,53 156,53 156,53 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-12 1 1 156,78 156,78 156,78 156,78 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-13 1 1 156,46 156,46 156,46 156,46 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-14 1 1 156,05 156,05 156,05 156,05 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-15 1 1 155,54 155,54 155,54 155,54 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-16 1 1 156,46 156,46 156,46 156,46 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-19 1 1 156,95 156,95 156,95 156,95 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-20 1 1 156,81 156,81 156,81 156,81 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-21 1 1 157,88 157,88 157,88 157,88 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-22 1 1 158,21 158,21 158,21 158,21 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-23 1 1 159,67 159,67 159,67 159,67 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-27 1 1 160,55 160,55 160,55 160,55 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-28 1 1 160,3 160,3 160,3 160,3 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-29 1 1 160,54 160,54 160,54 160,54 760116 Kaupthing Fonder AB Kaupthing Sverige Index 30 SEK 2005-12-30 1 1 159,87 159,87 159,87 159,87 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-03 1 1 87,61 87,61 87,61 87,61 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-04 1 1 88,53 88,53 88,53 88,53 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-05 1 1 87,73 87,73 87,73 87,73 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-07 1 1 87,87 87,87 87,87 87,87 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-10 1 1 88,48 88,48 88,48 88,48 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-11 1 1 86,99 86,99 86,99 86,99 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-12 1 1 86,25 86,25 86,25 86,25 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-13 1 1 86,23 86,23 86,23 86,23 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-14 1 1 86,63 86,63 86,63 86,63 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-17 1 1 87,48 87,48 87,48 87,48 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-18 1 1 87,24 87,24 87,24 87,24 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-19 1 1 87,42 87,42 87,42 87,42 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-20 1 1 86,71 86,71 86,71 86,71 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-21 1 1 86,23 86,23 86,23 86,23 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-24 1 1 85,29 85,29 85,29 85,29 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-25 1 1 85,92 85,92 85,92 85,92 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-26 1 1 86,21 86,21 86,21 86,21 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-27 1 1 86,38 86,38 86,38 86,38 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-28 1 1 86,56 86,56 86,56 86,56 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-01-31 1 1 86,97 86,97 86,97 86,97 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-01 1 1 86,91 86,91 86,91 86,91 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-02 1 1 87,08 87,08 87,08 87,08 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-03 1 1 87,12 87,12 87,12 87,12 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-04 1 1 87,89 87,89 87,89 87,89 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-07 1 1 89,64 89,64 89,64 89,64 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-08 1 1 90,19 90,19 90,19 90,19 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-09 1 1 90,64 90,64 90,64 90,64 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-10 1 1 89,11 89,11 89,11 89,11 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-11 1 1 88,69 88,69 88,69 88,69 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-14 1 1 89,79 89,79 89,79 89,79 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-15 1 1 89,95 89,95 89,95 89,95 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-16 1 1 89,51 89,51 89,51 89,51 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-17 1 1 88,95 88,95 88,95 88,95 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-18 1 1 88,72 88,72 88,72 88,72 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-21 1 1 89,2 89,2 89,2 89,2 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-22 1 1 88,42 88,42 88,42 88,42 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-23 1 1 87,3 87,3 87,3 87,3 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-24 1 1 87,87 87,87 87,87 87,87 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-25 1 1 88,52 88,52 88,52 88,52 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-02-28 1 1 88,46 88,46 88,46 88,46 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-01 1 1 88,85 88,85 88,85 88,85 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-02 1 1 89,3 89,3 89,3 89,3 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-03 1 1 89,7 89,7 89,7 89,7 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-04 1 1 89,23 89,23 89,23 89,23 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-07 1 1 89,28 89,28 89,28 89,28 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-08 1 1 88,81 88,81 88,81 88,81 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-09 1 1 88,48 88,48 88,48 88,48 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-10 1 1 88,03 88,03 88,03 88,03 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-11 1 1 88,49 88,49 88,49 88,49 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-14 1 1 88,16 88,16 88,16 88,16 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-15 1 1 88,55 88,55 88,55 88,55 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-16 1 1 87,65 87,65 87,65 87,65 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-17 1 1 87,32 87,32 87,32 87,32 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-18 1 1 88,1 88,1 88,1 88,1 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-21 1 1 88,08 88,08 88,08 88,08 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-22 1 1 87,4 87,4 87,4 87,4 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-23 1 1 87,88 87,88 87,88 87,88 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-24 1 1 87,97 87,97 87,97 87,97 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-29 1 1 88,05 88,05 88,05 88,05 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-30 1 1 87,46 87,46 87,46 87,46 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-03-31 1 1 88,72 88,72 88,72 88,72 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-01 1 1 89,06 89,06 89,06 89,06 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-04 1 1 88,89 88,89 88,89 88,89 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-05 1 1 89,61 89,61 89,61 89,61 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-06 1 1 89,79 89,79 89,79 89,79 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-07 1 1 89,6 89,6 89,6 89,6 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-08 1 1 90,46 90,46 90,46 90,46 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-11 1 1 89,68 89,68 89,68 89,68 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-12 1 1 89,2 89,2 89,2 89,2 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-13 1 1 89,58 89,58 89,58 89,58 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-14 1 1 89,6 89,6 89,6 89,6 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-15 1 1 86,76 86,76 86,76 86,76 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-18 1 1 85,22 85,22 85,22 85,22 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-19 1 1 85,69 85,69 85,69 85,69 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-20 1 1 86,12 86,12 86,12 86,12 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-21 1 1 86,42 86,42 86,42 86,42 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-22 1 1 87,2 87,2 87,2 87,2 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-25 1 1 87,21 87,21 87,21 87,21 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-26 1 1 86,72 86,72 86,72 86,72 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-27 1 1 85,47 85,47 85,47 85,47 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-28 1 1 84,38 84,38 84,38 84,38 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-04-29 1 1 84,16 84,16 84,16 84,16 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-02 1 1 85,05 85,05 85,05 85,05 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-03 1 1 84,93 84,93 84,93 84,93 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-04 1 1 84,64 84,64 84,64 84,64 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-06 1 1 86,56 86,56 86,56 86,56 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-09 1 1 86,6 86,6 86,6 86,6 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-10 1 1 86,07 86,07 86,07 86,07 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-11 1 1 85,92 85,92 85,92 85,92 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-12 1 1 87,25 87,25 87,25 87,25 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-13 1 1 87,64 87,64 87,64 87,64 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-16 1 1 87,91 87,91 87,91 87,91 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-17 1 1 88,2 88,2 88,2 88,2 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-18 1 1 89,01 89,01 89,01 89,01 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-19 1 1 90,05 90,05 90,05 90,05 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-20 1 1 90,52 90,52 90,52 90,52 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-23 1 1 90,79 90,79 90,79 90,79 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-24 1 1 90,14 90,14 90,14 90,14 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-25 1 1 89,86 89,86 89,86 89,86 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-26 1 1 91,13 91,13 91,13 91,13 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-27 1 1 91,35 91,35 91,35 91,35 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-30 1 1 91,7 91,7 91,7 91,7 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-05-31 1 1 92,3 92,3 92,3 92,3 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-01 1 1 92,61 92,61 92,61 92,61 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-02 1 1 93,46 93,46 93,46 93,46 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-03 1 1 92,93 92,93 92,93 92,93 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-07 1 1 93,34 93,34 93,34 93,34 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-08 1 1 93,77 93,77 93,77 93,77 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-09 1 1 93,95 93,95 93,95 93,95 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-10 1 1 94,58 94,58 94,58 94,58 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-13 1 1 95,27 95,27 95,27 95,27 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-14 1 1 95,99 95,99 95,99 95,99 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-15 1 1 95,83 95,83 95,83 95,83 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-16 1 1 96,36 96,36 96,36 96,36 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-17 1 1 95,87 95,87 95,87 95,87 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-20 1 1 95,42 95,42 95,42 95,42 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-21 1 1 95,98 95,98 95,98 95,98 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-22 1 1 97,05 97,05 97,05 97,05 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-23 1 1 98,34 98,34 98,34 98,34 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-27 1 1 95,46 95,46 95,46 95,46 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-28 1 1 96,35 96,35 96,35 96,35 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-29 1 1 97,19 97,19 97,19 97,19 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-06-30 1 1 97,59 97,59 97,59 97,59 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-01 1 1 97,18 97,18 97,18 97,18 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-04 1 1 97,85 97,85 97,85 97,85 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-05 1 1 97,34 97,34 97,34 97,34 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-06 1 1 97,94 97,94 97,94 97,94 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-07 1 1 96,64 96,64 96,64 96,64 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-08 1 1 98,05 98,05 98,05 98,05 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-11 1 1 100,15 100,15 100,15 100,15 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-12 1 1 99,63 99,63 99,63 99,63 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-13 1 1 100,02 100,02 100,02 100,02 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-14 1 1 100,73 100,73 100,73 100,73 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-15 1 1 100,64 100,64 100,64 100,64 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-18 1 1 100,52 100,52 100,52 100,52 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-19 1 1 101,76 101,76 101,76 101,76 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-20 1 1 101,04 101,04 101,04 101,04 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-21 1 1 100,33 100,33 100,33 100,33 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-22 1 1 100,54 100,54 100,54 100,54 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-25 1 1 100,25 100,25 100,25 100,25 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-26 1 1 100,98 100,98 100,98 100,98 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-27 1 1 100,68 100,68 100,68 100,68 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-28 1 1 100,89 100,89 100,89 100,89 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-07-29 1 1 100,53 100,53 100,53 100,53 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-01 1 1 99,99 99,99 99,99 99,99 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-02 1 1 100,8 100,8 100,8 100,8 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-03 1 1 100,4 100,4 100,4 100,4 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-04 1 1 99,68 99,68 99,68 99,68 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-05 1 1 99,31 99,31 99,31 99,31 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-08 1 1 99,16 99,16 99,16 99,16 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-09 1 1 99,57 99,57 99,57 99,57 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-10 1 1 100,64 100,64 100,64 100,64 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-11 1 1 100,36 100,36 100,36 100,36 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-12 1 1 99,64 99,64 99,64 99,64 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-15 1 1 100,04 100,04 100,04 100,04 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-16 1 1 100,91 100,91 100,91 100,91 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-17 1 1 100,61 100,61 100,61 100,61 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-18 1 1 100,78 100,78 100,78 100,78 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-19 1 1 101,36 101,36 101,36 101,36 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-22 1 1 101,39 101,39 101,39 101,39 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-23 1 1 100,85 100,85 100,85 100,85 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-24 1 1 99,69 99,69 99,69 99,69 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-25 1 1 99,54 99,54 99,54 99,54 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-26 1 1 99,18 99,18 99,18 99,18 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-29 1 1 99,29 99,29 99,29 99,29 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-30 1 1 99,94 99,94 99,94 99,94 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-08-31 1 1 99,55 99,55 99,55 99,55 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-01 1 1 99,78 99,78 99,78 99,78 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-02 1 1 98,99 98,99 98,99 98,99 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-05 1 1 99,4 99,4 99,4 99,4 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-06 1 1 100,09 100,09 100,09 100,09 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-07 1 1 101,43 101,43 101,43 101,43 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-08 1 1 102,28 102,28 102,28 102,28 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-09 1 1 103,05 103,05 103,05 103,05 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-12 1 1 103,65 103,65 103,65 103,65 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-13 1 1 103,83 103,83 103,83 103,83 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-14 1 1 104,21 104,21 104,21 104,21 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-15 1 1 104 104 104 104 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-16 1 1 103,89 103,89 103,89 103,89 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-19 1 1 104,06 104,06 104,06 104,06 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-20 1 1 104,27 104,27 104,27 104,27 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-21 1 1 102,53 102,53 102,53 102,53 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-22 1 1 102,46 102,46 102,46 102,46 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-23 1 1 102,96 102,96 102,96 102,96 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-26 1 1 104,87 104,87 104,87 104,87 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-27 1 1 104,96 104,96 104,96 104,96 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-28 1 1 105,23 105,23 105,23 105,23 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-29 1 1 104,55 104,55 104,55 104,55 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-09-30 1 1 106,17 106,17 106,17 106,17 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-03 1 1 107,45 107,45 107,45 107,45 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-04 1 1 107,71 107,71 107,71 107,71 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-05 1 1 106,06 106,06 106,06 106,06 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-06 1 1 103,71 103,71 103,71 103,71 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-07 1 1 103,76 103,76 103,76 103,76 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-10 1 1 104,33 104,33 104,33 104,33 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-11 1 1 104,82 104,82 104,82 104,82 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-12 1 1 103,37 103,37 103,37 103,37 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-13 1 1 103,33 103,33 103,33 103,33 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-14 1 1 103,47 103,47 103,47 103,47 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-17 1 1 104,07 104,07 104,07 104,07 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-18 1 1 104,26 104,26 104,26 104,26 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-19 1 1 102,04 102,04 102,04 102,04 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-20 1 1 103,46 103,46 103,46 103,46 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-21 1 1 102,7 102,7 102,7 102,7 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-24 1 1 104,19 104,19 104,19 104,19 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-25 1 1 103,66 103,66 103,66 103,66 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-26 1 1 103,95 103,95 103,95 103,95 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-27 1 1 102,76 102,76 102,76 102,76 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-28 1 1 102,24 102,24 102,24 102,24 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-10-31 1 1 105,05 105,05 105,05 105,05 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-01 1 1 106,06 106,06 106,06 106,06 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-02 1 1 106,72 106,72 106,72 106,72 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-03 1 1 109,33 109,33 109,33 109,33 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-04 1 1 109,55 109,55 109,55 109,55 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-07 1 1 110,56 110,56 110,56 110,56 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-08 1 1 110,15 110,15 110,15 110,15 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-09 1 1 110,79 110,79 110,79 110,79 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-10 1 1 111,23 111,23 111,23 111,23 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-11 1 1 111,93 111,93 111,93 111,93 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-14 1 1 112,15 112,15 112,15 112,15 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-15 1 1 112,82 112,82 112,82 112,82 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-16 1 1 111,78 111,78 111,78 111,78 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-17 1 1 112,32 112,32 112,32 112,32 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-18 1 1 113,42 113,42 113,42 113,42 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-21 1 1 112,71 112,71 112,71 112,71 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-22 1 1 112,99 112,99 112,99 112,99 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-23 1 1 112,71 112,71 112,71 112,71 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-24 1 1 112,13 112,13 112,13 112,13 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-25 1 1 112,43 112,43 112,43 112,43 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-28 1 1 112,48 112,48 112,48 112,48 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-29 1 1 113,09 113,09 113,09 113,09 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-11-30 1 1 112,81 112,81 112,81 112,81 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-01 1 1 114,69 114,69 114,69 114,69 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-02 1 1 114,99 114,99 114,99 114,99 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-05 1 1 114,02 114,02 114,02 114,02 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-06 1 1 113,73 113,73 113,73 113,73 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-07 1 1 114,56 114,56 114,56 114,56 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-08 1 1 113,54 113,54 113,54 113,54 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-12 1 1 113,21 113,21 113,21 113,21 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-13 1 1 113,61 113,61 113,61 113,61 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-14 1 1 112,83 112,83 112,83 112,83 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-15 1 1 112,31 112,31 112,31 112,31 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-16 1 1 112,44 112,44 112,44 112,44 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-19 1 1 112,32 112,32 112,32 112,32 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-20 1 1 111,94 111,94 111,94 111,94 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-21 1 1 113,72 113,72 113,72 113,72 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-22 1 1 114,02 114,02 114,02 114,02 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-23 1 1 115,42 115,42 115,42 115,42 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-27 1 1 115,84 115,84 115,84 115,84 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-28 1 1 114,63 114,63 114,63 114,63 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-29 1 1 114,96 114,96 114,96 114,96 939264 Kaupthing Fonder AB Kaupthing TIME SEK 2005-12-30 1 1 114,47 114,47 114,47 114,47 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-03 1 1 136,7 136,7 136,7 136,7 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-04 1 1 137,12 137,12 137,12 137,12 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-05 1 1 136,62 136,62 136,62 136,62 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-07 1 1 137,15 137,15 137,15 137,15 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-10 1 1 138,15 138,15 138,15 138,15 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-11 1 1 137,48 137,48 137,48 137,48 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-12 1 1 136,41 136,41 136,41 136,41 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-13 1 1 136,3 136,3 136,3 136,3 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-14 1 1 136,57 136,57 136,57 136,57 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-17 1 1 137,22 137,22 137,22 137,22 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-18 1 1 136,94 136,94 136,94 136,94 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-19 1 1 137,68 137,68 137,68 137,68 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-20 1 1 136,66 136,66 136,66 136,66 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-21 1 1 136,58 136,58 136,58 136,58 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-24 1 1 135,44 135,44 135,44 135,44 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-25 1 1 136,51 136,51 136,51 136,51 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-26 1 1 136,95 136,95 136,95 136,95 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-27 1 1 136,29 136,29 136,29 136,29 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-28 1 1 136,83 136,83 136,83 136,83 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-01-31 1 1 137,65 137,65 137,65 137,65 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-01 1 1 137,75 137,75 137,75 137,75 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-02 1 1 138,36 138,36 138,36 138,36 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-03 1 1 138,47 138,47 138,47 138,47 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-04 1 1 139,42 139,42 139,42 139,42 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-07 1 1 141 141 141 141 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-08 1 1 141,59 141,59 141,59 141,59 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-09 1 1 141,47 141,47 141,47 141,47 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-10 1 1 141,01 141,01 141,01 141,01 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-11 1 1 141,62 141,62 141,62 141,62 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-14 1 1 142,13 142,13 142,13 142,13 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-15 1 1 142,36 142,36 142,36 142,36 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-16 1 1 141,26 141,26 141,26 141,26 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-17 1 1 141,97 141,97 141,97 141,97 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-18 1 1 141,25 141,25 141,25 141,25 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-21 1 1 141,72 141,72 141,72 141,72 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-22 1 1 140,22 140,22 140,22 140,22 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-23 1 1 140,01 140,01 140,01 140,01 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-24 1 1 140,05 140,05 140,05 140,05 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-25 1 1 141,12 141,12 141,12 141,12 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-02-28 1 1 141,41 141,41 141,41 141,41 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-01 1 1 141,94 141,94 141,94 141,94 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-02 1 1 138,37 138,37 138,37 138,37 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-03 1 1 139,09 139,09 139,09 139,09 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-04 1 1 139,26 139,26 139,26 139,26 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-07 1 1 139,25 139,25 139,25 139,25 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-08 1 1 138,82 138,82 138,82 138,82 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-09 1 1 137,72 137,72 137,72 137,72 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-10 1 1 137,12 137,12 137,12 137,12 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-11 1 1 137,58 137,58 137,58 137,58 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-14 1 1 136,96 136,96 136,96 136,96 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-15 1 1 138,35 138,35 138,35 138,35 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-16 1 1 137,26 137,26 137,26 137,26 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-17 1 1 136,46 136,46 136,46 136,46 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-18 1 1 136,83 136,83 136,83 136,83 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-21 1 1 137,44 137,44 137,44 137,44 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-22 1 1 137,58 137,58 137,58 137,58 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-23 1 1 136,84 136,84 136,84 136,84 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-24 1 1 137,98 137,98 137,98 137,98 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-29 1 1 138,17 138,17 138,17 138,17 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-30 1 1 137,74 137,74 137,74 137,74 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-03-31 1 1 139 139 139 139 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-01 1 1 139,78 139,78 139,78 139,78 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-04 1 1 138,85 138,85 138,85 138,85 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-05 1 1 140,63 140,63 140,63 140,63 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-06 1 1 141,2 141,2 141,2 141,2 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-07 1 1 140,92 140,92 140,92 140,92 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-08 1 1 142,13 142,13 142,13 142,13 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-11 1 1 141,4 141,4 141,4 141,4 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-12 1 1 140,51 140,51 140,51 140,51 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-13 1 1 141,7 141,7 141,7 141,7 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-14 1 1 141,93 141,93 141,93 141,93 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-15 1 1 140,83 140,83 140,83 140,83 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-18 1 1 137,9 137,9 137,9 137,9 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-19 1 1 138,81 138,81 138,81 138,81 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-20 1 1 138,48 138,48 138,48 138,48 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-21 1 1 138,07 138,07 138,07 138,07 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-22 1 1 138,61 138,61 138,61 138,61 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-25 1 1 138,77 138,77 138,77 138,77 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-26 1 1 138,33 138,33 138,33 138,33 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-27 1 1 136,73 136,73 136,73 136,73 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-28 1 1 136,36 136,36 136,36 136,36 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-04-29 1 1 137,05 137,05 137,05 137,05 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-02 1 1 138,69 138,69 138,69 138,69 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-03 1 1 139 139 139 139 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-04 1 1 138,52 138,52 138,52 138,52 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-06 1 1 139,58 139,58 139,58 139,58 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-09 1 1 140,09 140,09 140,09 140,09 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-10 1 1 139,77 139,77 139,77 139,77 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-11 1 1 139,39 139,39 139,39 139,39 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-12 1 1 140,56 140,56 140,56 140,56 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-13 1 1 140,57 140,57 140,57 140,57 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-16 1 1 141,07 141,07 141,07 141,07 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-17 1 1 141,64 141,64 141,64 141,64 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-18 1 1 142,53 142,53 142,53 142,53 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-19 1 1 143,05 143,05 143,05 143,05 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-20 1 1 143,21 143,21 143,21 143,21 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-23 1 1 143,55 143,55 143,55 143,55 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-24 1 1 143,67 143,67 143,67 143,67 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-25 1 1 143,67 143,67 143,67 143,67 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-26 1 1 144,26 144,26 144,26 144,26 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-27 1 1 144,73 144,73 144,73 144,73 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-30 1 1 145,03 145,03 145,03 145,03 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-05-31 1 1 145,45 145,45 145,45 145,45 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-01 1 1 145,6 145,6 145,6 145,6 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-02 1 1 145,69 145,69 145,69 145,69 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-03 1 1 145,52 145,52 145,52 145,52 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-07 1 1 146,29 146,29 146,29 146,29 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-08 1 1 146,49 146,49 146,49 146,49 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-09 1 1 146,65 146,65 146,65 146,65 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-10 1 1 147,32 147,32 147,32 147,32 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-13 1 1 148,04 148,04 148,04 148,04 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-14 1 1 149,08 149,08 149,08 149,08 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-15 1 1 149,55 149,55 149,55 149,55 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-16 1 1 149,5 149,5 149,5 149,5 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-17 1 1 150,15 150,15 150,15 150,15 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-20 1 1 148,76 148,76 148,76 148,76 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-21 1 1 150,01 150,01 150,01 150,01 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-22 1 1 150,34 150,34 150,34 150,34 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-23 1 1 151,58 151,58 151,58 151,58 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-27 1 1 149,18 149,18 149,18 149,18 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-28 1 1 150,16 150,16 150,16 150,16 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-29 1 1 151,65 151,65 151,65 151,65 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-06-30 1 1 152,1 152,1 152,1 152,1 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-01 1 1 152,17 152,17 152,17 152,17 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-04 1 1 153,18 153,18 153,18 153,18 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-05 1 1 152,88 152,88 152,88 152,88 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-06 1 1 153,07 153,07 153,07 153,07 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-07 1 1 150,33 150,33 150,33 150,33 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-08 1 1 152,38 152,38 152,38 152,38 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-11 1 1 154,34 154,34 154,34 154,34 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-12 1 1 153,72 153,72 153,72 153,72 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-13 1 1 153,68 153,68 153,68 153,68 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-14 1 1 154,42 154,42 154,42 154,42 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-15 1 1 154,29 154,29 154,29 154,29 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-18 1 1 154,29 154,29 154,29 154,29 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-19 1 1 155,52 155,52 155,52 155,52 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-20 1 1 154,85 154,85 154,85 154,85 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-21 1 1 155,17 155,17 155,17 155,17 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-22 1 1 155,2 155,2 155,2 155,2 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-25 1 1 155,85 155,85 155,85 155,85 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-26 1 1 156,12 156,12 156,12 156,12 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-27 1 1 157,33 157,33 157,33 157,33 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-28 1 1 157,78 157,78 157,78 157,78 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-07-29 1 1 157,35 157,35 157,35 157,35 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-01 1 1 157,18 157,18 157,18 157,18 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-02 1 1 157,61 157,61 157,61 157,61 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-03 1 1 157,26 157,26 157,26 157,26 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-04 1 1 156,29 156,29 156,29 156,29 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-05 1 1 155,17 155,17 155,17 155,17 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-08 1 1 155,05 155,05 155,05 155,05 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-09 1 1 155,08 155,08 155,08 155,08 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-10 1 1 156,72 156,72 156,72 156,72 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-11 1 1 155,51 155,51 155,51 155,51 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-12 1 1 154,65 154,65 154,65 154,65 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-15 1 1 154,9 154,9 154,9 154,9 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-16 1 1 155,27 155,27 155,27 155,27 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-17 1 1 155,25 155,25 155,25 155,25 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-18 1 1 155,35 155,35 155,35 155,35 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-19 1 1 156,78 156,78 156,78 156,78 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-22 1 1 157,19 157,19 157,19 157,19 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-23 1 1 155,87 155,87 155,87 155,87 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-24 1 1 154,57 154,57 154,57 154,57 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-25 1 1 153,09 153,09 153,09 153,09 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-26 1 1 152,35 152,35 152,35 152,35 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-29 1 1 152,16 152,16 152,16 152,16 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-30 1 1 153,26 153,26 153,26 153,26 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-08-31 1 1 154,03 154,03 154,03 154,03 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-01 1 1 154,49 154,49 154,49 154,49 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-02 1 1 153,71 153,71 153,71 153,71 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-05 1 1 154 154 154 154 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-06 1 1 155,41 155,41 155,41 155,41 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-07 1 1 155,74 155,74 155,74 155,74 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-08 1 1 155,99 155,99 155,99 155,99 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-09 1 1 156,82 156,82 156,82 156,82 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-12 1 1 157,55 157,55 157,55 157,55 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-13 1 1 157,14 157,14 157,14 157,14 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-14 1 1 157,84 157,84 157,84 157,84 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-15 1 1 158,02 158,02 158,02 158,02 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-16 1 1 157,91 157,91 157,91 157,91 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-19 1 1 158,91 158,91 158,91 158,91 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-20 1 1 158,73 158,73 158,73 158,73 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-21 1 1 157,32 157,32 157,32 157,32 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-22 1 1 156,63 156,63 156,63 156,63 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-23 1 1 158 158 158 158 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-26 1 1 160,05 160,05 160,05 160,05 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-27 1 1 160,19 160,19 160,19 160,19 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-28 1 1 160,66 160,66 160,66 160,66 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-29 1 1 160,46 160,46 160,46 160,46 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-09-30 1 1 161,51 161,51 161,51 161,51 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-03 1 1 162,66 162,66 162,66 162,66 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-04 1 1 162,51 162,51 162,51 162,51 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-05 1 1 161,73 161,73 161,73 161,73 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-06 1 1 159,29 159,29 159,29 159,29 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-07 1 1 158,91 158,91 158,91 158,91 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-10 1 1 159,34 159,34 159,34 159,34 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-11 1 1 160,23 160,23 160,23 160,23 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-12 1 1 159,62 159,62 159,62 159,62 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-13 1 1 158,1 158,1 158,1 158,1 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-14 1 1 158,44 158,44 158,44 158,44 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-17 1 1 158,75 158,75 158,75 158,75 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-18 1 1 158,75 158,75 158,75 158,75 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-19 1 1 157,21 157,21 157,21 157,21 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-20 1 1 158,68 158,68 158,68 158,68 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-21 1 1 157,39 157,39 157,39 157,39 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-24 1 1 159,59 159,59 159,59 159,59 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-25 1 1 160,72 160,72 160,72 160,72 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-26 1 1 160,09 160,09 160,09 160,09 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-27 1 1 159,4 159,4 159,4 159,4 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-28 1 1 158,4 158,4 158,4 158,4 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-10-31 1 1 162,12 162,12 162,12 162,12 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-01 1 1 163,24 163,24 163,24 163,24 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-02 1 1 163,62 163,62 163,62 163,62 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-03 1 1 165,59 165,59 165,59 165,59 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-04 1 1 165,46 165,46 165,46 165,46 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-07 1 1 167,1 167,1 167,1 167,1 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-08 1 1 167,45 167,45 167,45 167,45 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-09 1 1 166,9 166,9 166,9 166,9 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-10 1 1 167,94 167,94 167,94 167,94 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-11 1 1 170,26 170,26 170,26 170,26 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-14 1 1 169,7 169,7 169,7 169,7 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-15 1 1 169,3 169,3 169,3 169,3 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-16 1 1 169,26 169,26 169,26 169,26 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-17 1 1 170,54 170,54 170,54 170,54 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-18 1 1 171,24 171,24 171,24 171,24 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-21 1 1 170,22 170,22 170,22 170,22 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-22 1 1 170,77 170,77 170,77 170,77 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-23 1 1 170,61 170,61 170,61 170,61 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-24 1 1 170,29 170,29 170,29 170,29 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-25 1 1 171,06 171,06 171,06 171,06 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-28 1 1 171,17 171,17 171,17 171,17 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-29 1 1 170,74 170,74 170,74 170,74 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-11-30 1 1 170,36 170,36 170,36 170,36 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-01 1 1 171,65 171,65 171,65 171,65 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-02 1 1 172,83 172,83 172,83 172,83 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-05 1 1 172,12 172,12 172,12 172,12 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-06 1 1 172,04 172,04 172,04 172,04 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-07 1 1 172,15 172,15 172,15 172,15 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-08 1 1 171,51 171,51 171,51 171,51 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-12 1 1 172,28 172,28 172,28 172,28 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-13 1 1 171,62 171,62 171,62 171,62 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-14 1 1 171,26 171,26 171,26 171,26 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-15 1 1 171,42 171,42 171,42 171,42 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-16 1 1 172,26 172,26 172,26 172,26 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-19 1 1 172,07 172,07 172,07 172,07 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-20 1 1 171,63 171,63 171,63 171,63 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-21 1 1 173,82 173,82 173,82 173,82 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-22 1 1 174,09 174,09 174,09 174,09 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-23 1 1 175,13 175,13 175,13 175,13 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-27 1 1 176,29 176,29 176,29 176,29 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-28 1 1 175,01 175,01 175,01 175,01 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-29 1 1 175,39 175,39 175,39 175,39 296152 Folksam Fond AB (publ) KPA Etisk Aktiefond SEK 2005-12-30 1 1 174,81 174,81 174,81 174,81 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-03 1 1 128,29 128,29 128,29 128,29 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-04 1 1 128,52 128,52 128,52 128,52 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-05 1 1 128,05 128,05 128,05 128,05 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-07 1 1 128,45 128,45 128,45 128,45 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-10 1 1 129,06 129,06 129,06 129,06 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-11 1 1 128,75 128,75 128,75 128,75 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-12 1 1 128,06 128,06 128,06 128,06 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-13 1 1 128,13 128,13 128,13 128,13 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-14 1 1 128,24 128,24 128,24 128,24 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-17 1 1 128,57 128,57 128,57 128,57 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-18 1 1 128,37 128,37 128,37 128,37 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-19 1 1 128,92 128,92 128,92 128,92 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-20 1 1 128,3 128,3 128,3 128,3 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-21 1 1 128,28 128,28 128,28 128,28 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-24 1 1 127,83 127,83 127,83 127,83 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-25 1 1 128,41 128,41 128,41 128,41 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-26 1 1 128,45 128,45 128,45 128,45 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-27 1 1 128,27 128,27 128,27 128,27 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-28 1 1 128,47 128,47 128,47 128,47 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-01-31 1 1 128,86 128,86 128,86 128,86 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-01 1 1 129,02 129,02 129,02 129,02 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-02 1 1 129,47 129,47 129,47 129,47 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-03 1 1 129,49 129,49 129,49 129,49 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-04 1 1 130 130 130 130 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-07 1 1 130,68 130,68 130,68 130,68 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-08 1 1 130,86 130,86 130,86 130,86 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-09 1 1 130,98 130,98 130,98 130,98 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-10 1 1 130,85 130,85 130,85 130,85 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-11 1 1 131,31 131,31 131,31 131,31 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-14 1 1 131,47 131,47 131,47 131,47 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-15 1 1 131,62 131,62 131,62 131,62 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-16 1 1 131,04 131,04 131,04 131,04 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-17 1 1 131,47 131,47 131,47 131,47 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-18 1 1 130,93 130,93 130,93 130,93 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-21 1 1 131,11 131,11 131,11 131,11 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-22 1 1 130,42 130,42 130,42 130,42 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-23 1 1 130,63 130,63 130,63 130,63 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-24 1 1 130,76 130,76 130,76 130,76 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-25 1 1 131,12 131,12 131,12 131,12 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-02-28 1 1 131,47 131,47 131,47 131,47 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-01 1 1 131,57 131,57 131,57 131,57 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-02 1 1 126,3 126,3 126,3 126,3 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-03 1 1 126,73 126,73 126,73 126,73 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-04 1 1 126,89 126,89 126,89 126,89 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-07 1 1 127,04 127,04 127,04 127,04 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-08 1 1 126,89 126,89 126,89 126,89 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-09 1 1 126,41 126,41 126,41 126,41 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-10 1 1 126,07 126,07 126,07 126,07 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-11 1 1 126,18 126,18 126,18 126,18 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-14 1 1 125,99 125,99 125,99 125,99 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-15 1 1 126,64 126,64 126,64 126,64 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-16 1 1 126,13 126,13 126,13 126,13 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-17 1 1 125,86 125,86 125,86 125,86 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-18 1 1 125,93 125,93 125,93 125,93 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-21 1 1 126,12 126,12 126,12 126,12 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-22 1 1 126,19 126,19 126,19 126,19 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-23 1 1 125,83 125,83 125,83 125,83 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-24 1 1 126,37 126,37 126,37 126,37 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-29 1 1 126,48 126,48 126,48 126,48 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-30 1 1 126,28 126,28 126,28 126,28 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-03-31 1 1 126,94 126,94 126,94 126,94 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-01 1 1 127,43 127,43 127,43 127,43 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-04 1 1 127,18 127,18 127,18 127,18 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-05 1 1 127,84 127,84 127,84 127,84 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-06 1 1 128,25 128,25 128,25 128,25 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-07 1 1 128,28 128,28 128,28 128,28 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-08 1 1 128,54 128,54 128,54 128,54 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-11 1 1 128,5 128,5 128,5 128,5 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-12 1 1 128,27 128,27 128,27 128,27 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-13 1 1 128,82 128,82 128,82 128,82 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-14 1 1 129,02 129,02 129,02 129,02 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-15 1 1 128,61 128,61 128,61 128,61 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-18 1 1 127,59 127,59 127,59 127,59 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-19 1 1 127,98 127,98 127,98 127,98 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-20 1 1 127,91 127,91 127,91 127,91 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-21 1 1 127,72 127,72 127,72 127,72 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-22 1 1 128,1 128,1 128,1 128,1 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-25 1 1 128,16 128,16 128,16 128,16 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-26 1 1 127,98 127,98 127,98 127,98 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-27 1 1 127,09 127,09 127,09 127,09 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-28 1 1 126,8 126,8 126,8 126,8 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-04-29 1 1 127,18 127,18 127,18 127,18 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-02 1 1 127,81 127,81 127,81 127,81 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-03 1 1 127,94 127,94 127,94 127,94 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-04 1 1 127,69 127,69 127,69 127,69 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-06 1 1 128,05 128,05 128,05 128,05 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-09 1 1 128,28 128,28 128,28 128,28 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-10 1 1 128,27 128,27 128,27 128,27 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-11 1 1 128,25 128,25 128,25 128,25 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-12 1 1 128,56 128,56 128,56 128,56 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-13 1 1 128,86 128,86 128,86 128,86 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-16 1 1 129,05 129,05 129,05 129,05 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-17 1 1 129,36 129,36 129,36 129,36 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-18 1 1 129,89 129,89 129,89 129,89 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-19 1 1 130,06 130,06 130,06 130,06 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-20 1 1 129,97 129,97 129,97 129,97 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-23 1 1 129,97 129,97 129,97 129,97 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-24 1 1 130,17 130,17 130,17 130,17 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-25 1 1 130,29 130,29 130,29 130,29 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-26 1 1 130,49 130,49 130,49 130,49 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-27 1 1 130,69 130,69 130,69 130,69 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-30 1 1 130,78 130,78 130,78 130,78 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-05-31 1 1 131,14 131,14 131,14 131,14 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-01 1 1 131,21 131,21 131,21 131,21 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-02 1 1 130,99 130,99 130,99 130,99 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-03 1 1 131,12 131,12 131,12 131,12 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-07 1 1 131,59 131,59 131,59 131,59 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-08 1 1 131,96 131,96 131,96 131,96 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-09 1 1 131,88 131,88 131,88 131,88 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-10 1 1 132,21 132,21 132,21 132,21 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-13 1 1 132,35 132,35 132,35 132,35 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-14 1 1 132,77 132,77 132,77 132,77 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-15 1 1 132,81 132,81 132,81 132,81 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-16 1 1 132,8 132,8 132,8 132,8 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-17 1 1 133,24 133,24 133,24 133,24 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-20 1 1 132,91 132,91 132,91 132,91 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-21 1 1 133,57 133,57 133,57 133,57 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-22 1 1 133,86 133,86 133,86 133,86 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-23 1 1 134,24 134,24 134,24 134,24 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-27 1 1 133,28 133,28 133,28 133,28 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-28 1 1 133,64 133,64 133,64 133,64 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-29 1 1 134,26 134,26 134,26 134,26 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-06-30 1 1 134,54 134,54 134,54 134,54 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-01 1 1 134,65 134,65 134,65 134,65 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-04 1 1 134,98 134,98 134,98 134,98 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-05 1 1 134,74 134,74 134,74 134,74 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-06 1 1 134,87 134,87 134,87 134,87 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-07 1 1 133,72 133,72 133,72 133,72 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-08 1 1 134,76 134,76 134,76 134,76 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-11 1 1 135,58 135,58 135,58 135,58 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-12 1 1 135,42 135,42 135,42 135,42 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-13 1 1 135,58 135,58 135,58 135,58 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-14 1 1 135,63 135,63 135,63 135,63 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-15 1 1 135,51 135,51 135,51 135,51 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-18 1 1 135,56 135,56 135,56 135,56 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-19 1 1 135,93 135,93 135,93 135,93 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-20 1 1 135,69 135,69 135,69 135,69 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-21 1 1 135,91 135,91 135,91 135,91 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-22 1 1 136,06 136,06 136,06 136,06 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-25 1 1 136,33 136,33 136,33 136,33 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-26 1 1 136,59 136,59 136,59 136,59 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-27 1 1 137,07 137,07 137,07 137,07 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-28 1 1 137,31 137,31 137,31 137,31 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-07-29 1 1 137,16 137,16 137,16 137,16 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-01 1 1 137,08 137,08 137,08 137,08 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-02 1 1 137,28 137,28 137,28 137,28 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-03 1 1 137,01 137,01 137,01 137,01 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-04 1 1 136,74 136,74 136,74 136,74 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-05 1 1 136,3 136,3 136,3 136,3 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-08 1 1 136,26 136,26 136,26 136,26 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-09 1 1 136,32 136,32 136,32 136,32 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-10 1 1 137,11 137,11 137,11 137,11 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-11 1 1 136,56 136,56 136,56 136,56 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-12 1 1 136,28 136,28 136,28 136,28 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-15 1 1 136,34 136,34 136,34 136,34 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-16 1 1 136,51 136,51 136,51 136,51 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-17 1 1 136,38 136,38 136,38 136,38 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-18 1 1 136,44 136,44 136,44 136,44 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-19 1 1 136,98 136,98 136,98 136,98 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-22 1 1 137,16 137,16 137,16 137,16 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-23 1 1 136,71 136,71 136,71 136,71 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-24 1 1 135,94 135,94 135,94 135,94 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-25 1 1 135,46 135,46 135,46 135,46 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-26 1 1 135,07 135,07 135,07 135,07 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-29 1 1 135,08 135,08 135,08 135,08 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-30 1 1 135,53 135,53 135,53 135,53 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-08-31 1 1 136 136 136 136 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-01 1 1 136,54 136,54 136,54 136,54 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-02 1 1 136,41 136,41 136,41 136,41 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-05 1 1 136,74 136,74 136,74 136,74 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-06 1 1 137,17 137,17 137,17 137,17 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-07 1 1 137,44 137,44 137,44 137,44 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-08 1 1 137,52 137,52 137,52 137,52 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-09 1 1 138 138 138 138 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-12 1 1 137,97 137,97 137,97 137,97 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-13 1 1 137,84 137,84 137,84 137,84 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-14 1 1 138,15 138,15 138,15 138,15 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-15 1 1 138,09 138,09 138,09 138,09 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-16 1 1 138,06 138,06 138,06 138,06 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-19 1 1 138,44 138,44 138,44 138,44 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-20 1 1 138,4 138,4 138,4 138,4 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-21 1 1 138,14 138,14 138,14 138,14 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-22 1 1 138,01 138,01 138,01 138,01 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-23 1 1 138,3 138,3 138,3 138,3 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-26 1 1 138,98 138,98 138,98 138,98 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-27 1 1 139,11 139,11 139,11 139,11 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-28 1 1 139,16 139,16 139,16 139,16 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-29 1 1 139,15 139,15 139,15 139,15 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-09-30 1 1 139,65 139,65 139,65 139,65 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-03 1 1 140,04 140,04 140,04 140,04 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-04 1 1 140,03 140,03 140,03 140,03 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-05 1 1 139,72 139,72 139,72 139,72 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-06 1 1 138,85 138,85 138,85 138,85 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-07 1 1 138,75 138,75 138,75 138,75 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-10 1 1 139,08 139,08 139,08 139,08 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-11 1 1 139,27 139,27 139,27 139,27 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-12 1 1 138,91 138,91 138,91 138,91 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-13 1 1 138,16 138,16 138,16 138,16 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-14 1 1 138,08 138,08 138,08 138,08 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-17 1 1 138,13 138,13 138,13 138,13 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-18 1 1 137,96 137,96 137,96 137,96 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-19 1 1 137,22 137,22 137,22 137,22 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-20 1 1 137,66 137,66 137,66 137,66 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-21 1 1 137,29 137,29 137,29 137,29 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-24 1 1 138,24 138,24 138,24 138,24 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-25 1 1 138,73 138,73 138,73 138,73 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-26 1 1 138,66 138,66 138,66 138,66 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-27 1 1 138,34 138,34 138,34 138,34 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-28 1 1 137,96 137,96 137,96 137,96 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-10-31 1 1 139,54 139,54 139,54 139,54 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-01 1 1 140,01 140,01 140,01 140,01 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-02 1 1 140,01 140,01 140,01 140,01 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-03 1 1 140,69 140,69 140,69 140,69 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-04 1 1 140,45 140,45 140,45 140,45 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-07 1 1 141,01 141,01 141,01 141,01 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-08 1 1 141,1 141,1 141,1 141,1 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-09 1 1 140,93 140,93 140,93 140,93 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-10 1 1 141,31 141,31 141,31 141,31 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-11 1 1 142,17 142,17 142,17 142,17 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-14 1 1 142,36 142,36 142,36 142,36 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-15 1 1 142,05 142,05 142,05 142,05 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-16 1 1 142,05 142,05 142,05 142,05 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-17 1 1 142,49 142,49 142,49 142,49 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-18 1 1 142,61 142,61 142,61 142,61 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-21 1 1 142,48 142,48 142,48 142,48 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-22 1 1 142,77 142,77 142,77 142,77 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-23 1 1 142,85 142,85 142,85 142,85 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-24 1 1 142,74 142,74 142,74 142,74 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-25 1 1 143 143 143 143 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-28 1 1 143,05 143,05 143,05 143,05 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-29 1 1 143,02 143,02 143,02 143,02 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-11-30 1 1 142,6 142,6 142,6 142,6 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-01 1 1 143,37 143,37 143,37 143,37 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-02 1 1 143,73 143,73 143,73 143,73 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-05 1 1 143,52 143,52 143,52 143,52 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-06 1 1 143,57 143,57 143,57 143,57 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-07 1 1 143,59 143,59 143,59 143,59 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-08 1 1 143,58 143,58 143,58 143,58 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-12 1 1 143,78 143,78 143,78 143,78 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-13 1 1 143,65 143,65 143,65 143,65 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-14 1 1 143,51 143,51 143,51 143,51 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-15 1 1 143,62 143,62 143,62 143,62 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-16 1 1 143,8 143,8 143,8 143,8 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-19 1 1 143,96 143,96 143,96 143,96 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-20 1 1 143,96 143,96 143,96 143,96 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-21 1 1 144,45 144,45 144,45 144,45 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-22 1 1 144,53 144,53 144,53 144,53 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-23 1 1 145,15 145,15 145,15 145,15 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-27 1 1 145,63 145,63 145,63 145,63 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-28 1 1 145,42 145,42 145,42 145,42 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-29 1 1 145,58 145,58 145,58 145,58 260323 Folksam Fond AB (publ) KPA Etisk Blandfond 1 SEK 2005-12-30 1 1 145,42 145,42 145,42 145,42 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-03 1 1 137,6 137,6 137,6 137,6 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-04 1 1 137,88 137,88 137,88 137,88 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-05 1 1 137,45 137,45 137,45 137,45 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-07 1 1 137,95 137,95 137,95 137,95 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-10 1 1 138,68 138,68 138,68 138,68 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-11 1 1 138,23 138,23 138,23 138,23 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-12 1 1 137,45 137,45 137,45 137,45 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-13 1 1 137,43 137,43 137,43 137,43 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-14 1 1 137,64 137,64 137,64 137,64 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-17 1 1 138,13 138,13 138,13 138,13 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-18 1 1 137,92 137,92 137,92 137,92 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-19 1 1 138,5 138,5 138,5 138,5 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-20 1 1 137,73 137,73 137,73 137,73 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-21 1 1 137,71 137,71 137,71 137,71 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-24 1 1 136,96 136,96 136,96 136,96 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-25 1 1 137,72 137,72 137,72 137,72 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-26 1 1 138 138 138 138 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-27 1 1 137,51 137,51 137,51 137,51 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-28 1 1 137,95 137,95 137,95 137,95 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-01-31 1 1 138,55 138,55 138,55 138,55 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-01 1 1 138,66 138,66 138,66 138,66 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-02 1 1 139,11 139,11 139,11 139,11 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-03 1 1 139,17 139,17 139,17 139,17 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-04 1 1 139,9 139,9 139,9 139,9 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-07 1 1 141,06 141,06 141,06 141,06 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-08 1 1 141,47 141,47 141,47 141,47 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-09 1 1 141,41 141,41 141,41 141,41 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-10 1 1 141,14 141,14 141,14 141,14 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-11 1 1 141,56 141,56 141,56 141,56 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-14 1 1 141,89 141,89 141,89 141,89 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-15 1 1 142,02 142,02 142,02 142,02 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-16 1 1 141,26 141,26 141,26 141,26 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-17 1 1 141,75 141,75 141,75 141,75 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-18 1 1 141,14 141,14 141,14 141,14 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-21 1 1 141,42 141,42 141,42 141,42 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-22 1 1 140,31 140,31 140,31 140,31 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-23 1 1 140,22 140,22 140,22 140,22 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-24 1 1 140,2 140,2 140,2 140,2 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-25 1 1 140,93 140,93 140,93 140,93 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-02-28 1 1 141,2 141,2 141,2 141,2 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-01 1 1 141,55 141,55 141,55 141,55 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-02 1 1 137,41 137,41 137,41 137,41 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-03 1 1 137,99 137,99 137,99 137,99 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-04 1 1 138,17 138,17 138,17 138,17 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-07 1 1 138,2 138,2 138,2 138,2 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-08 1 1 137,93 137,93 137,93 137,93 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-09 1 1 137,08 137,08 137,08 137,08 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-10 1 1 136,65 136,65 136,65 136,65 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-11 1 1 136,91 136,91 136,91 136,91 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-14 1 1 136,49 136,49 136,49 136,49 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-15 1 1 137,51 137,51 137,51 137,51 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-16 1 1 136,73 136,73 136,73 136,73 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-17 1 1 136,17 136,17 136,17 136,17 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-18 1 1 136,4 136,4 136,4 136,4 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-21 1 1 136,85 136,85 136,85 136,85 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-22 1 1 136,96 136,96 136,96 136,96 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-23 1 1 136,41 136,41 136,41 136,41 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-24 1 1 137,26 137,26 137,26 137,26 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-29 1 1 137,39 137,39 137,39 137,39 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-30 1 1 137,1 137,1 137,1 137,1 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-03-31 1 1 138,06 138,06 138,06 138,06 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-01 1 1 138,7 138,7 138,7 138,7 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-04 1 1 138,08 138,08 138,08 138,08 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-05 1 1 139,29 139,29 139,29 139,29 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-06 1 1 139,69 139,69 139,69 139,69 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-07 1 1 139,53 139,53 139,53 139,53 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-08 1 1 140,31 140,31 140,31 140,31 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-11 1 1 139,85 139,85 139,85 139,85 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-12 1 1 139,24 139,24 139,24 139,24 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-13 1 1 140,1 140,1 140,1 140,1 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-14 1 1 140,29 140,29 140,29 140,29 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-15 1 1 139,65 139,65 139,65 139,65 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-18 1 1 137,66 137,66 137,66 137,66 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-19 1 1 138,3 138,3 138,3 138,3 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-20 1 1 138,07 138,07 138,07 138,07 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-21 1 1 137,78 137,78 137,78 137,78 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-22 1 1 138,24 138,24 138,24 138,24 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-25 1 1 138,38 138,38 138,38 138,38 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-26 1 1 138,11 138,11 138,11 138,11 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-27 1 1 137,05 137,05 137,05 137,05 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-28 1 1 136,87 136,87 136,87 136,87 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-04-29 1 1 137,32 137,32 137,32 137,32 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-02 1 1 138,51 138,51 138,51 138,51 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-03 1 1 138,74 138,74 138,74 138,74 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-04 1 1 138,33 138,33 138,33 138,33 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-06 1 1 138,99 138,99 138,99 138,99 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-09 1 1 139,37 139,37 139,37 139,37 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-10 1 1 139,24 139,24 139,24 139,24 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-11 1 1 139,04 139,04 139,04 139,04 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-12 1 1 139,81 139,81 139,81 139,81 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-13 1 1 139,9 139,9 139,9 139,9 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-16 1 1 140,27 140,27 140,27 140,27 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-17 1 1 140,69 140,69 140,69 140,69 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-18 1 1 141,39 141,39 141,39 141,39 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-19 1 1 141,75 141,75 141,75 141,75 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-20 1 1 141,78 141,78 141,78 141,78 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-23 1 1 142,06 142,06 142,06 142,06 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-24 1 1 142,17 142,17 142,17 142,17 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-25 1 1 142,22 142,22 142,22 142,22 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-26 1 1 142,58 142,58 142,58 142,58 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-27 1 1 142,9 142,9 142,9 142,9 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-30 1 1 143,1 143,1 143,1 143,1 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-05-31 1 1 143,5 143,5 143,5 143,5 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-01 1 1 143,65 143,65 143,65 143,65 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-02 1 1 143,78 143,78 143,78 143,78 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-03 1 1 143,73 143,73 143,73 143,73 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-07 1 1 144,29 144,29 144,29 144,29 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-08 1 1 144,54 144,54 144,54 144,54 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-09 1 1 144,64 144,64 144,64 144,64 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-10 1 1 145,1 145,1 145,1 145,1 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-13 1 1 145,6 145,6 145,6 145,6 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-14 1 1 146,29 146,29 146,29 146,29 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-15 1 1 146,56 146,56 146,56 146,56 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-16 1 1 146,51 146,51 146,51 146,51 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-17 1 1 147,03 147,03 147,03 147,03 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-20 1 1 146,05 146,05 146,05 146,05 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-21 1 1 147,08 147,08 147,08 147,08 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-22 1 1 147,44 147,44 147,44 147,44 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-23 1 1 148,28 148,28 148,28 148,28 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-27 1 1 146,63 146,63 146,63 146,63 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-28 1 1 147,29 147,29 147,29 147,29 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-29 1 1 148,37 148,37 148,37 148,37 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-06-30 1 1 148,67 148,67 148,67 148,67 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-01 1 1 148,72 148,72 148,72 148,72 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-04 1 1 149,36 149,36 149,36 149,36 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-05 1 1 149,09 149,09 149,09 149,09 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-06 1 1 149,24 149,24 149,24 149,24 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-07 1 1 147,4 147,4 147,4 147,4 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-08 1 1 148,84 148,84 148,84 148,84 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-11 1 1 150,15 150,15 150,15 150,15 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-12 1 1 149,69 149,69 149,69 149,69 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-13 1 1 149,62 149,62 149,62 149,62 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-14 1 1 150,12 150,12 150,12 150,12 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-15 1 1 150,01 150,01 150,01 150,01 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-18 1 1 150,07 150,07 150,07 150,07 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-19 1 1 150,92 150,92 150,92 150,92 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-20 1 1 150,43 150,43 150,43 150,43 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-21 1 1 150,69 150,69 150,69 150,69 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-22 1 1 150,75 150,75 150,75 150,75 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-25 1 1 151,26 151,26 151,26 151,26 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-26 1 1 151,41 151,41 151,41 151,41 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-27 1 1 152,32 152,32 152,32 152,32 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-28 1 1 152,6 152,6 152,6 152,6 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-07-29 1 1 152,26 152,26 152,26 152,26 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-01 1 1 152,03 152,03 152,03 152,03 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-02 1 1 152,25 152,25 152,25 152,25 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-03 1 1 151,97 151,97 151,97 151,97 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-04 1 1 151,34 151,34 151,34 151,34 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-05 1 1 150,44 150,44 150,44 150,44 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-08 1 1 150,35 150,35 150,35 150,35 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-09 1 1 150,36 150,36 150,36 150,36 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-10 1 1 151,56 151,56 151,56 151,56 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-11 1 1 150,72 150,72 150,72 150,72 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-12 1 1 150,13 150,13 150,13 150,13 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-15 1 1 150,33 150,33 150,33 150,33 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-16 1 1 150,62 150,62 150,62 150,62 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-17 1 1 150,62 150,62 150,62 150,62 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-18 1 1 150,68 150,68 150,68 150,68 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-19 1 1 151,66 151,66 151,66 151,66 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-22 1 1 151,97 151,97 151,97 151,97 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-23 1 1 151,12 151,12 151,12 151,12 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-24 1 1 150,18 150,18 150,18 150,18 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-25 1 1 149,19 149,19 149,19 149,19 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-26 1 1 148,67 148,67 148,67 148,67 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-29 1 1 148,53 148,53 148,53 148,53 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-30 1 1 149,29 149,29 149,29 149,29 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-08-31 1 1 149,92 149,92 149,92 149,92 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-01 1 1 150,28 150,28 150,28 150,28 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-02 1 1 149,74 149,74 149,74 149,74 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-05 1 1 149,98 149,98 149,98 149,98 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-06 1 1 150,9 150,9 150,9 150,9 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-07 1 1 151,11 151,11 151,11 151,11 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-08 1 1 151,31 151,31 151,31 151,31 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-09 1 1 151,92 151,92 151,92 151,92 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-12 1 1 152,36 152,36 152,36 152,36 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-13 1 1 152,06 152,06 152,06 152,06 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-14 1 1 152,55 152,55 152,55 152,55 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-15 1 1 152,61 152,61 152,61 152,61 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-16 1 1 152,52 152,52 152,52 152,52 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-19 1 1 153,22 153,22 153,22 153,22 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-20 1 1 153,08 153,08 153,08 153,08 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-21 1 1 152,1 152,1 152,1 152,1 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-22 1 1 151,62 151,62 151,62 151,62 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-23 1 1 152,49 152,49 152,49 152,49 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-26 1 1 153,84 153,84 153,84 153,84 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-27 1 1 153,96 153,96 153,96 153,96 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-28 1 1 154,26 154,26 154,26 154,26 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-29 1 1 154 154 154 154 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-09-30 1 1 154,78 154,78 154,78 154,78 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-03 1 1 155,55 155,55 155,55 155,55 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-04 1 1 155,48 155,48 155,48 155,48 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-05 1 1 154,96 154,96 154,96 154,96 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-06 1 1 153,26 153,26 153,26 153,26 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-07 1 1 152,99 152,99 152,99 152,99 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-10 1 1 153,27 153,27 153,27 153,27 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-11 1 1 153,85 153,85 153,85 153,85 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-12 1 1 153,41 153,41 153,41 153,41 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-13 1 1 152,37 152,37 152,37 152,37 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-14 1 1 152,57 152,57 152,57 152,57 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-17 1 1 152,78 152,78 152,78 152,78 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-18 1 1 152,8 152,8 152,8 152,8 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-19 1 1 151,83 151,83 151,83 151,83 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-20 1 1 152,81 152,81 152,81 152,81 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-21 1 1 152,03 152,03 152,03 152,03 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-24 1 1 153,57 153,57 153,57 153,57 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-25 1 1 154,29 154,29 154,29 154,29 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-26 1 1 153,73 153,73 153,73 153,73 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-27 1 1 153,23 153,23 153,23 153,23 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-28 1 1 152,52 152,52 152,52 152,52 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-10-31 1 1 155,07 155,07 155,07 155,07 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-01 1 1 155,84 155,84 155,84 155,84 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-02 1 1 156 156 156 156 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-03 1 1 157,35 157,35 157,35 157,35 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-04 1 1 157,2 157,2 157,2 157,2 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-07 1 1 158,32 158,32 158,32 158,32 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-08 1 1 158,58 158,58 158,58 158,58 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-09 1 1 158,16 158,16 158,16 158,16 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-10 1 1 158,9 158,9 158,9 158,9 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-11 1 1 160,55 160,55 160,55 160,55 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-14 1 1 160,23 160,23 160,23 160,23 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-15 1 1 159,92 159,92 159,92 159,92 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-16 1 1 159,94 159,94 159,94 159,94 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-17 1 1 160,77 160,77 160,77 160,77 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-18 1 1 161,16 161,16 161,16 161,16 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-21 1 1 160,48 160,48 160,48 160,48 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-22 1 1 160,9 160,9 160,9 160,9 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-23 1 1 160,83 160,83 160,83 160,83 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-24 1 1 160,72 160,72 160,72 160,72 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-25 1 1 161,18 161,18 161,18 161,18 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-28 1 1 161,27 161,27 161,27 161,27 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-29 1 1 160,97 160,97 160,97 160,97 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-11-30 1 1 160,68 160,68 160,68 160,68 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-01 1 1 161,61 161,61 161,61 161,61 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-02 1 1 162,28 162,28 162,28 162,28 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-05 1 1 161,76 161,76 161,76 161,76 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-06 1 1 161,7 161,7 161,7 161,7 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-07 1 1 161,79 161,79 161,79 161,79 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-08 1 1 161,34 161,34 161,34 161,34 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-12 1 1 161,83 161,83 161,83 161,83 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-13 1 1 161,39 161,39 161,39 161,39 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-14 1 1 161,19 161,19 161,19 161,19 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-15 1 1 161,32 161,32 161,32 161,32 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-16 1 1 161,87 161,87 161,87 161,87 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-19 1 1 161,78 161,78 161,78 161,78 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-20 1 1 161,43 161,43 161,43 161,43 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-21 1 1 162,81 162,81 162,81 162,81 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-22 1 1 162,97 162,97 162,97 162,97 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-23 1 1 163,68 163,68 163,68 163,68 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-27 1 1 164,5 164,5 164,5 164,5 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-28 1 1 163,64 163,64 163,64 163,64 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-29 1 1 163,85 163,85 163,85 163,85 224493 Folksam Fond AB (publ) KPA Etisk Blandfond 2 SEK 2005-12-30 1 1 163,5 163,5 163,5 163,5 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-03 1 1 1062,74 1062,74 1062,74 1062,74 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-04 1 1 1062,72 1062,72 1062,72 1062,72 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-05 1 1 1062,81 1062,81 1062,81 1062,81 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-07 1 1 1062,96 1062,96 1062,96 1062,96 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-10 1 1 1063,11 1063,11 1063,11 1063,11 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-11 1 1 1063,18 1063,18 1063,18 1063,18 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-12 1 1 1063,15 1063,15 1063,15 1063,15 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-13 1 1 1063,23 1063,23 1063,23 1063,23 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-14 1 1 1063,29 1063,29 1063,29 1063,29 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-17 1 1 1063,49 1063,49 1063,49 1063,49 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-18 1 1 1063,55 1063,55 1063,55 1063,55 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-19 1 1 1063,58 1063,58 1063,58 1063,58 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-20 1 1 1063,64 1063,64 1063,64 1063,64 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-21 1 1 1063,77 1063,77 1063,77 1063,77 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-24 1 1 1064 1064 1064 1064 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-25 1 1 1064,03 1064,03 1064,03 1064,03 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-26 1 1 1064,05 1064,05 1064,05 1064,05 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-27 1 1 1064,15 1064,15 1064,15 1064,15 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-28 1 1 1064,26 1064,26 1064,26 1064,26 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-01-31 1 1 1064,37 1064,37 1064,37 1064,37 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-01 1 1 1064,43 1064,43 1064,43 1064,43 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-02 1 1 1064,38 1064,38 1064,38 1064,38 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-03 1 1 1064,47 1064,47 1064,47 1064,47 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-04 1 1 1064,52 1064,52 1064,52 1064,52 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-07 1 1 1064,73 1064,73 1064,73 1064,73 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-08 1 1 1064,73 1064,73 1064,73 1064,73 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-09 1 1 1064,72 1064,72 1064,72 1064,72 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-10 1 1 1064,84 1064,84 1064,84 1064,84 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-11 1 1 1064,94 1064,94 1064,94 1064,94 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-14 1 1 1065,12 1065,12 1065,12 1065,12 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-15 1 1 1065,15 1065,15 1065,15 1065,15 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-16 1 1 1065,16 1065,16 1065,16 1065,16 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-17 1 1 1065,31 1065,31 1065,31 1065,31 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-18 1 1 1065,32 1065,32 1065,32 1065,32 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-21 1 1 1065,48 1065,48 1065,48 1065,48 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-22 1 1 1065,51 1065,51 1065,51 1065,51 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-23 1 1 1065,48 1065,48 1065,48 1065,48 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-24 1 1 1065,47 1065,47 1065,47 1065,47 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-25 1 1 1065,52 1065,52 1065,52 1065,52 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-02-28 1 1 1065,87 1065,87 1065,87 1065,87 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-01 1 1 1065,89 1065,89 1065,89 1065,89 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-02 1 1 1039,09 1039,09 1039,09 1039,09 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-03 1 1 1039,17 1039,17 1039,17 1039,17 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-04 1 1 1039,28 1039,28 1039,28 1039,28 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-07 1 1 1039,45 1039,45 1039,45 1039,45 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-08 1 1 1039,6 1039,6 1039,6 1039,6 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-09 1 1 1039,62 1039,62 1039,62 1039,62 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-10 1 1 1039,7 1039,7 1039,7 1039,7 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-11 1 1 1039,68 1039,68 1039,68 1039,68 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-14 1 1 1039,84 1039,84 1039,84 1039,84 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-15 1 1 1039,9 1039,9 1039,9 1039,9 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-16 1 1 1039,77 1039,77 1039,77 1039,77 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-17 1 1 1039,88 1039,88 1039,88 1039,88 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-18 1 1 1039,9 1039,9 1039,9 1039,9 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-21 1 1 1040,08 1040,08 1040,08 1040,08 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-22 1 1 1039,95 1039,95 1039,95 1039,95 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-23 1 1 1040,05 1040,05 1040,05 1040,05 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-24 1 1 1040,16 1040,16 1040,16 1040,16 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-29 1 1 1040,48 1040,48 1040,48 1040,48 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-30 1 1 1040,44 1040,44 1040,44 1040,44 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-03-31 1 1 1040,5 1040,5 1040,5 1040,5 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-01 1 1 1040,56 1040,56 1040,56 1040,56 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-04 1 1 1040,74 1040,74 1040,74 1040,74 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-05 1 1 1040,79 1040,79 1040,79 1040,79 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-06 1 1 1040,77 1040,77 1040,77 1040,77 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-07 1 1 1040,87 1040,87 1040,87 1040,87 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-08 1 1 1040,91 1040,91 1040,91 1040,91 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-11 1 1 1041,09 1041,09 1041,09 1041,09 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-12 1 1 1041,14 1041,14 1041,14 1041,14 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-13 1 1 1041,13 1041,13 1041,13 1041,13 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-14 1 1 1041,26 1041,26 1041,26 1041,26 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-15 1 1 1041,4 1041,4 1041,4 1041,4 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-18 1 1 1041,58 1041,58 1041,58 1041,58 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-19 1 1 1041,62 1041,62 1041,62 1041,62 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-20 1 1 1041,58 1041,58 1041,58 1041,58 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-21 1 1 1041,66 1041,66 1041,66 1041,66 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-22 1 1 1041,73 1041,73 1041,73 1041,73 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-25 1 1 1041,94 1041,94 1041,94 1041,94 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-26 1 1 1042,02 1042,02 1042,02 1042,02 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-27 1 1 1042,07 1042,07 1042,07 1042,07 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-28 1 1 1042,22 1042,22 1042,22 1042,22 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-04-29 1 1 1042,36 1042,36 1042,36 1042,36 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-02 1 1 1042,55 1042,55 1042,55 1042,55 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-03 1 1 1042,71 1042,71 1042,71 1042,71 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-04 1 1 1042,76 1042,76 1042,76 1042,76 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-06 1 1 1042,85 1042,85 1042,85 1042,85 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-09 1 1 1043,05 1043,05 1043,05 1043,05 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-10 1 1 1043,16 1043,16 1043,16 1043,16 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-11 1 1 1043,24 1043,24 1043,24 1043,24 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-12 1 1 1043,25 1043,25 1043,25 1043,25 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-13 1 1 1043,4 1043,4 1043,4 1043,4 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-16 1 1 1043,68 1043,68 1043,68 1043,68 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-17 1 1 1043,7 1043,7 1043,7 1043,7 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-18 1 1 1043,84 1043,84 1043,84 1043,84 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-19 1 1 1044 1044 1044 1044 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-20 1 1 1043,87 1043,87 1043,87 1043,87 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-23 1 1 1044,06 1044,06 1044,06 1044,06 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-24 1 1 1044,14 1044,14 1044,14 1044,14 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-25 1 1 1044,1 1044,1 1044,1 1044,1 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-26 1 1 1044,18 1044,18 1044,18 1044,18 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-27 1 1 1044,23 1044,23 1044,23 1044,23 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-30 1 1 1044,33 1044,33 1044,33 1044,33 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-05-31 1 1 1044,49 1044,49 1044,49 1044,49 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-01 1 1 1044,47 1044,47 1044,47 1044,47 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-02 1 1 1044,61 1044,61 1044,61 1044,61 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-03 1 1 1044,77 1044,77 1044,77 1044,77 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-07 1 1 1045,08 1045,08 1045,08 1045,08 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-08 1 1 1045,59 1045,59 1045,59 1045,59 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-09 1 1 1045,76 1045,76 1045,76 1045,76 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-10 1 1 1045,8 1045,8 1045,8 1045,8 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-13 1 1 1046,02 1046,02 1046,02 1046,02 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-14 1 1 1046,03 1046,03 1046,03 1046,03 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-15 1 1 1046,07 1046,07 1046,07 1046,07 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-16 1 1 1046,24 1046,24 1046,24 1046,24 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-17 1 1 1046,36 1046,36 1046,36 1046,36 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-20 1 1 1046,57 1046,57 1046,57 1046,57 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-21 1 1 1047,02 1047,02 1047,02 1047,02 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-22 1 1 1047,24 1047,24 1047,24 1047,24 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-23 1 1 1047,23 1047,23 1047,23 1047,23 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-27 1 1 1047,43 1047,43 1047,43 1047,43 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-28 1 1 1047,4 1047,4 1047,4 1047,4 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-29 1 1 1047,45 1047,45 1047,45 1047,45 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-06-30 1 1 1047,43 1047,43 1047,43 1047,43 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-01 1 1 1047,43 1047,43 1047,43 1047,43 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-04 1 1 1047,52 1047,52 1047,52 1047,52 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-05 1 1 1047,42 1047,42 1047,42 1047,42 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-06 1 1 1047,41 1047,41 1047,41 1047,41 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-07 1 1 1047,6 1047,6 1047,6 1047,6 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-08 1 1 1047,64 1047,64 1047,64 1047,64 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-11 1 1 1047,73 1047,73 1047,73 1047,73 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-12 1 1 1047,76 1047,76 1047,76 1047,76 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-13 1 1 1047,68 1047,68 1047,68 1047,68 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-14 1 1 1047,75 1047,75 1047,75 1047,75 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-15 1 1 1047,76 1047,76 1047,76 1047,76 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-18 1 1 1047,98 1047,98 1047,98 1047,98 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-19 1 1 1048 1048 1048 1048 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-20 1 1 1047,91 1047,91 1047,91 1047,91 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-21 1 1 1048,03 1048,03 1048,03 1048,03 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-22 1 1 1048,06 1048,06 1048,06 1048,06 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-25 1 1 1048,25 1048,25 1048,25 1048,25 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-26 1 1 1048,24 1048,24 1048,24 1048,24 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-27 1 1 1048,24 1048,24 1048,24 1048,24 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-28 1 1 1048,26 1048,26 1048,26 1048,26 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-07-29 1 1 1048,18 1048,18 1048,18 1048,18 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-01 1 1 1048,16 1048,16 1048,16 1048,16 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-02 1 1 1048,11 1048,11 1048,11 1048,11 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-03 1 1 1047,99 1047,99 1047,99 1047,99 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-04 1 1 1048,11 1048,11 1048,11 1048,11 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-05 1 1 1048,07 1048,07 1048,07 1048,07 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-08 1 1 1048,23 1048,23 1048,23 1048,23 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-09 1 1 1048,28 1048,28 1048,28 1048,28 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-10 1 1 1048,22 1048,22 1048,22 1048,22 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-11 1 1 1048,36 1048,36 1048,36 1048,36 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-12 1 1 1048,38 1048,38 1048,38 1048,38 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-15 1 1 1048,59 1048,59 1048,59 1048,59 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-16 1 1 1048,61 1048,61 1048,61 1048,61 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-17 1 1 1048,53 1048,53 1048,53 1048,53 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-18 1 1 1048,63 1048,63 1048,63 1048,63 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-19 1 1 1048,67 1048,67 1048,67 1048,67 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-22 1 1 1048,79 1048,79 1048,79 1048,79 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-23 1 1 1048,84 1048,84 1048,84 1048,84 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-24 1 1 1048,76 1048,76 1048,76 1048,76 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-25 1 1 1048,87 1048,87 1048,87 1048,87 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-26 1 1 1048,87 1048,87 1048,87 1048,87 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-29 1 1 1048,99 1048,99 1048,99 1048,99 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-30 1 1 1049 1049 1049 1049 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-08-31 1 1 1048,99 1048,99 1048,99 1048,99 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-01 1 1 1049,1 1049,1 1049,1 1049,1 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-02 1 1 1049,2 1049,2 1049,2 1049,2 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-05 1 1 1049,39 1049,39 1049,39 1049,39 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-06 1 1 1049,4 1049,4 1049,4 1049,4 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-07 1 1 1049,35 1049,35 1049,35 1049,35 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-08 1 1 1049,52 1049,52 1049,52 1049,52 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-09 1 1 1049,62 1049,62 1049,62 1049,62 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-12 1 1 1049,69 1049,69 1049,69 1049,69 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-13 1 1 1049,72 1049,72 1049,72 1049,72 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-14 1 1 1049,62 1049,62 1049,62 1049,62 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-15 1 1 1049,71 1049,71 1049,71 1049,71 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-16 1 1 1049,71 1049,71 1049,71 1049,71 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-19 1 1 1049,94 1049,94 1049,94 1049,94 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-20 1 1 1050,04 1050,04 1050,04 1050,04 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-21 1 1 1050,03 1050,03 1050,03 1050,03 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-22 1 1 1050,14 1050,14 1050,14 1050,14 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-23 1 1 1050,07 1050,07 1050,07 1050,07 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-26 1 1 1050,21 1050,21 1050,21 1050,21 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-27 1 1 1050,26 1050,26 1050,26 1050,26 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-28 1 1 1050,18 1050,18 1050,18 1050,18 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-29 1 1 1050,15 1050,15 1050,15 1050,15 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-09-30 1 1 1050,09 1050,09 1050,09 1050,09 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-03 1 1 1050,16 1050,16 1050,16 1050,16 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-04 1 1 1050,21 1050,21 1050,21 1050,21 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-05 1 1 1050,18 1050,18 1050,18 1050,18 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-06 1 1 1050,23 1050,23 1050,23 1050,23 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-07 1 1 1050,24 1050,24 1050,24 1050,24 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-10 1 1 1050,35 1050,35 1050,35 1050,35 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-11 1 1 1050,38 1050,38 1050,38 1050,38 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-12 1 1 1050,38 1050,38 1050,38 1050,38 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-13 1 1 1050,6 1050,6 1050,6 1050,6 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-14 1 1 1050,67 1050,67 1050,67 1050,67 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-17 1 1 1050,78 1050,78 1050,78 1050,78 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-18 1 1 1050,81 1050,81 1050,81 1050,81 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-19 1 1 1050,82 1050,82 1050,82 1050,82 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-20 1 1 1051,03 1051,03 1051,03 1051,03 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-21 1 1 1051,04 1051,04 1051,04 1051,04 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-24 1 1 1051,19 1051,19 1051,19 1051,19 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-25 1 1 1051,18 1051,18 1051,18 1051,18 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-26 1 1 1051,12 1051,12 1051,12 1051,12 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-27 1 1 1051,23 1051,23 1051,23 1051,23 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-28 1 1 1051,24 1051,24 1051,24 1051,24 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-10-31 1 1 1051,32 1051,32 1051,32 1051,32 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-01 1 1 1051,34 1051,34 1051,34 1051,34 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-02 1 1 1051,24 1051,24 1051,24 1051,24 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-03 1 1 1051,26 1051,26 1051,26 1051,26 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-04 1 1 1051,23 1051,23 1051,23 1051,23 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-07 1 1 1051,35 1051,35 1051,35 1051,35 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-08 1 1 1051,38 1051,38 1051,38 1051,38 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-09 1 1 1051,32 1051,32 1051,32 1051,32 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-10 1 1 1051,41 1051,41 1051,41 1051,41 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-11 1 1 1051,44 1051,44 1051,44 1051,44 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-14 1 1 1051,61 1051,61 1051,61 1051,61 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-15 1 1 1051,6 1051,6 1051,6 1051,6 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-16 1 1 1051,61 1051,61 1051,61 1051,61 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-17 1 1 1051,65 1051,65 1051,65 1051,65 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-18 1 1 1051,62 1051,62 1051,62 1051,62 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-21 1 1 1051,76 1051,76 1051,76 1051,76 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-22 1 1 1051,41 1051,41 1051,41 1051,41 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-23 1 1 1051,53 1051,53 1051,53 1051,53 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-24 1 1 1052,02 1052,02 1052,02 1052,02 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-25 1 1 1051,96 1051,96 1051,96 1051,96 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-28 1 1 1052,17 1052,17 1052,17 1052,17 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-29 1 1 1052,09 1052,09 1052,09 1052,09 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-11-30 1 1 1052,02 1052,02 1052,02 1052,02 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-01 1 1 1052,09 1052,09 1052,09 1052,09 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-02 1 1 1051,91 1051,91 1051,91 1051,91 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-05 1 1 1051,83 1051,83 1051,83 1051,83 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-06 1 1 1051,86 1051,86 1051,86 1051,86 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-07 1 1 1051,82 1051,82 1051,82 1051,82 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-08 1 1 1051,82 1051,82 1051,82 1051,82 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-12 1 1 1051,97 1051,97 1051,97 1051,97 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-13 1 1 1052,08 1052,08 1052,08 1052,08 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-14 1 1 1052,09 1052,09 1052,09 1052,09 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-15 1 1 1052,18 1052,18 1052,18 1052,18 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-16 1 1 1052,2 1052,2 1052,2 1052,2 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-19 1 1 1052,38 1052,38 1052,38 1052,38 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-20 1 1 1052,4 1052,4 1052,4 1052,4 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-21 1 1 1052,32 1052,32 1052,32 1052,32 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-22 1 1 1052,44 1052,44 1052,44 1052,44 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-23 1 1 1052,46 1052,46 1052,46 1052,46 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-27 1 1 1052,67 1052,67 1052,67 1052,67 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-28 1 1 1052,66 1052,66 1052,66 1052,66 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-29 1 1 1052,7 1052,7 1052,7 1052,7 188664 Folksam Fond AB (publ) KPA Etisk Räntefond SEK 2005-12-30 1 1 1052,74 1052,74 1052,74 1052,74 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-03 1 1 105,11 105,11 105,11 105,11 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-04 1 1 105,12 105,12 105,12 105,12 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-05 1 1 105,12 105,12 105,12 105,12 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-07 1 1 105,13 105,13 105,13 105,13 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-10 1 1 105,15 105,15 105,15 105,15 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-11 1 1 105,15 105,15 105,15 105,15 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-12 1 1 105,16 105,16 105,16 105,16 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-13 1 1 105,16 105,16 105,16 105,16 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-14 1 1 105,17 105,17 105,17 105,17 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-17 1 1 105,19 105,19 105,19 105,19 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-18 1 1 105,19 105,19 105,19 105,19 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-19 1 1 105,2 105,2 105,2 105,2 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-20 1 1 105,2 105,2 105,2 105,2 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-21 1 1 105,21 105,21 105,21 105,21 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-24 1 1 105,22 105,22 105,22 105,22 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-25 1 1 105,23 105,23 105,23 105,23 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-26 1 1 105,23 105,23 105,23 105,23 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-27 1 1 105,24 105,24 105,24 105,24 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-28 1 1 105,24 105,24 105,24 105,24 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-01-31 1 1 105,26 105,26 105,26 105,26 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-01 1 1 105,26 105,26 105,26 105,26 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-02 1 1 105,27 105,27 105,27 105,27 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-03 1 1 105,27 105,27 105,27 105,27 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-04 1 1 105,27 105,27 105,27 105,27 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-07 1 1 105,29 105,29 105,29 105,29 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-08 1 1 105,29 105,29 105,29 105,29 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-09 1 1 105,3 105,3 105,3 105,3 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-10 1 1 105,3 105,3 105,3 105,3 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-11 1 1 105,3 105,3 105,3 105,3 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-14 1 1 105,32 105,32 105,32 105,32 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-15 1 1 105,33 105,33 105,33 105,33 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-16 1 1 105,33 105,33 105,33 105,33 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-17 1 1 105,33 105,33 105,33 105,33 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-18 1 1 105,34 105,34 105,34 105,34 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-21 1 1 105,35 105,35 105,35 105,35 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-22 1 1 105,35 105,35 105,35 105,35 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-23 1 1 105,36 105,36 105,36 105,36 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-24 1 1 105,37 105,37 105,37 105,37 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-25 1 1 105,37 105,37 105,37 105,37 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-02-28 1 1 105,39 105,39 105,39 105,39 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-01 1 1 105,39 105,39 105,39 105,39 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-02 1 1 105,4 105,4 105,4 105,4 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-03 1 1 105,4 105,4 105,4 105,4 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-04 1 1 105,41 105,41 105,41 105,41 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-07 1 1 105,42 105,42 105,42 105,42 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-08 1 1 105,43 105,43 105,43 105,43 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-09 1 1 105,43 105,43 105,43 105,43 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-10 1 1 105,44 105,44 105,44 105,44 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-11 1 1 105,43 105,43 105,43 105,43 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-14 1 1 105,46 105,46 105,46 105,46 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-15 1 1 105,46 105,46 105,46 105,46 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-16 1 1 105,47 105,47 105,47 105,47 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-17 1 1 105,47 105,47 105,47 105,47 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-18 1 1 105,48 105,48 105,48 105,48 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-21 1 1 105,5 105,5 105,5 105,5 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-22 1 1 105,5 105,5 105,5 105,5 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-23 1 1 105,5 105,5 105,5 105,5 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-24 1 1 105,51 105,51 105,51 105,51 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-29 1 1 105,53 105,53 105,53 105,53 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-30 1 1 105,54 105,54 105,54 105,54 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-03-31 1 1 105,54 105,54 105,54 105,54 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-01 1 1 105,54 105,54 105,54 105,54 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-04 1 1 105,56 105,56 105,56 105,56 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-05 1 1 105,56 105,56 105,56 105,56 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-06 1 1 105,57 105,57 105,57 105,57 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-07 1 1 105,57 105,57 105,57 105,57 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-08 1 1 105,58 105,58 105,58 105,58 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-11 1 1 105,59 105,59 105,59 105,59 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-12 1 1 105,6 105,6 105,6 105,6 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-13 1 1 105,6 105,6 105,6 105,6 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-14 1 1 105,61 105,61 105,61 105,61 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-15 1 1 105,61 105,61 105,61 105,61 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-18 1 1 105,62 105,62 105,62 105,62 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-19 1 1 105,63 105,63 105,63 105,63 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-20 1 1 105,63 105,63 105,63 105,63 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-21 1 1 105,64 105,64 105,64 105,64 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-22 1 1 105,64 105,64 105,64 105,64 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-25 1 1 105,66 105,66 105,66 105,66 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-26 1 1 105,66 105,66 105,66 105,66 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-27 1 1 105,67 105,67 105,67 105,67 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-28 1 1 105,67 105,67 105,67 105,67 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-04-29 1 1 105,68 105,68 105,68 105,68 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-02 1 1 105,7 105,7 105,7 105,7 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-03 1 1 105,7 105,7 105,7 105,7 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-04 1 1 105,71 105,71 105,71 105,71 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-06 1 1 105,72 105,72 105,72 105,72 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-09 1 1 105,73 105,73 105,73 105,73 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-10 1 1 105,74 105,74 105,74 105,74 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-11 1 1 105,74 105,74 105,74 105,74 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-12 1 1 105,75 105,75 105,75 105,75 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-13 1 1 105,76 105,76 105,76 105,76 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-16 1 1 105,77 105,77 105,77 105,77 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-17 1 1 105,78 105,78 105,78 105,78 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-18 1 1 105,79 105,79 105,79 105,79 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-19 1 1 105,79 105,79 105,79 105,79 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-20 1 1 105,79 105,79 105,79 105,79 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-23 1 1 105,81 105,81 105,81 105,81 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-24 1 1 105,81 105,81 105,81 105,81 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-25 1 1 105,82 105,82 105,82 105,82 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-26 1 1 105,82 105,82 105,82 105,82 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-27 1 1 105,82 105,82 105,82 105,82 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-30 1 1 105,84 105,84 105,84 105,84 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-05-31 1 1 105,84 105,84 105,84 105,84 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-01 1 1 105,85 105,85 105,85 105,85 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-02 1 1 105,85 105,85 105,85 105,85 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-03 1 1 105,86 105,86 105,86 105,86 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-07 1 1 105,88 105,88 105,88 105,88 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-08 1 1 105,89 105,89 105,89 105,89 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-09 1 1 105,9 105,9 105,9 105,9 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-10 1 1 105,9 105,9 105,9 105,9 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-13 1 1 105,91 105,91 105,91 105,91 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-14 1 1 105,91 105,91 105,91 105,91 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-15 1 1 105,92 105,92 105,92 105,92 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-16 1 1 105,93 105,93 105,93 105,93 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-17 1 1 105,93 105,93 105,93 105,93 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-20 1 1 105,94 105,94 105,94 105,94 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-21 1 1 105,96 105,96 105,96 105,96 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-22 1 1 105,96 105,96 105,96 105,96 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-23 1 1 105,97 105,97 105,97 105,97 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-27 1 1 105,99 105,99 105,99 105,99 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-28 1 1 105,99 105,99 105,99 105,99 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-29 1 1 105,99 105,99 105,99 105,99 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-06-30 1 1 105,99 105,99 105,99 105,99 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-01 1 1 105,99 105,99 105,99 105,99 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-04 1 1 106,01 106,01 106,01 106,01 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-05 1 1 106,01 106,01 106,01 106,01 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-06 1 1 106,01 106,01 106,01 106,01 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-07 1 1 106,02 106,02 106,02 106,02 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-08 1 1 106,02 106,02 106,02 106,02 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-11 1 1 106,04 106,04 106,04 106,04 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-12 1 1 106,04 106,04 106,04 106,04 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-13 1 1 106,04 106,04 106,04 106,04 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-14 1 1 106,05 106,05 106,05 106,05 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-15 1 1 106,05 106,05 106,05 106,05 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-18 1 1 106,06 106,06 106,06 106,06 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-19 1 1 106,07 106,07 106,07 106,07 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-20 1 1 106,07 106,07 106,07 106,07 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-21 1 1 106,08 106,08 106,08 106,08 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-22 1 1 106,08 106,08 106,08 106,08 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-25 1 1 106,09 106,09 106,09 106,09 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-26 1 1 106,1 106,1 106,1 106,1 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-27 1 1 106,1 106,1 106,1 106,1 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-28 1 1 106,11 106,11 106,11 106,11 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-07-29 1 1 106,11 106,11 106,11 106,11 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-01 1 1 106,12 106,12 106,12 106,12 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-02 1 1 106,13 106,13 106,13 106,13 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-03 1 1 106,13 106,13 106,13 106,13 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-04 1 1 106,13 106,13 106,13 106,13 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-05 1 1 106,14 106,14 106,14 106,14 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-08 1 1 106,15 106,15 106,15 106,15 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-09 1 1 106,15 106,15 106,15 106,15 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-10 1 1 106,16 106,16 106,16 106,16 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-11 1 1 106,16 106,16 106,16 106,16 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-12 1 1 106,17 106,17 106,17 106,17 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-15 1 1 106,18 106,18 106,18 106,18 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-16 1 1 106,18 106,18 106,18 106,18 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-17 1 1 106,19 106,19 106,19 106,19 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-18 1 1 106,19 106,19 106,19 106,19 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-19 1 1 106,19 106,19 106,19 106,19 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-22 1 1 106,2 106,2 106,2 106,2 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-23 1 1 106,21 106,21 106,21 106,21 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-24 1 1 106,21 106,21 106,21 106,21 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-25 1 1 106,21 106,21 106,21 106,21 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-26 1 1 106,22 106,22 106,22 106,22 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-29 1 1 106,23 106,23 106,23 106,23 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-30 1 1 106,23 106,23 106,23 106,23 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-08-31 1 1 106,24 106,24 106,24 106,24 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-01 1 1 106,24 106,24 106,24 106,24 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-02 1 1 106,25 106,25 106,25 106,25 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-05 1 1 106,27 106,27 106,27 106,27 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-06 1 1 106,27 106,27 106,27 106,27 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-07 1 1 106,28 106,28 106,28 106,28 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-08 1 1 106,28 106,28 106,28 106,28 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-09 1 1 106,29 106,29 106,29 106,29 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-12 1 1 106,3 106,3 106,3 106,3 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-13 1 1 106,3 106,3 106,3 106,3 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-14 1 1 106,3 106,3 106,3 106,3 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-15 1 1 106,3 106,3 106,3 106,3 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-16 1 1 106,31 106,31 106,31 106,31 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-19 1 1 106,32 106,32 106,32 106,32 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-20 1 1 106,32 106,32 106,32 106,32 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-21 1 1 106,33 106,33 106,33 106,33 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-22 1 1 106,33 106,33 106,33 106,33 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-23 1 1 106,33 106,33 106,33 106,33 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-26 1 1 106,33 106,33 106,33 106,33 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-27 1 1 106,34 106,34 106,34 106,34 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-28 1 1 106,34 106,34 106,34 106,34 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-29 1 1 106,34 106,34 106,34 106,34 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-09-30 1 1 106,33 106,33 106,33 106,33 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-03 1 1 106,34 106,34 106,34 106,34 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-04 1 1 106,34 106,34 106,34 106,34 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-05 1 1 106,34 106,34 106,34 106,34 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-06 1 1 106,35 106,35 106,35 106,35 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-07 1 1 106,35 106,35 106,35 106,35 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-10 1 1 106,36 106,36 106,36 106,36 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-11 1 1 106,36 106,36 106,36 106,36 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-12 1 1 106,37 106,37 106,37 106,37 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-13 1 1 106,37 106,37 106,37 106,37 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-14 1 1 106,38 106,38 106,38 106,38 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-17 1 1 106,39 106,39 106,39 106,39 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-18 1 1 106,39 106,39 106,39 106,39 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-19 1 1 106,4 106,4 106,4 106,4 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-20 1 1 106,4 106,4 106,4 106,4 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-21 1 1 106,4 106,4 106,4 106,4 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-24 1 1 106,41 106,41 106,41 106,41 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-25 1 1 106,42 106,42 106,42 106,42 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-26 1 1 106,42 106,42 106,42 106,42 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-27 1 1 106,43 106,43 106,43 106,43 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-28 1 1 106,43 106,43 106,43 106,43 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-10-31 1 1 106,44 106,44 106,44 106,44 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-01 1 1 106,44 106,44 106,44 106,44 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-02 1 1 106,44 106,44 106,44 106,44 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-03 1 1 106,45 106,45 106,45 106,45 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-04 1 1 106,45 106,45 106,45 106,45 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-07 1 1 106,46 106,46 106,46 106,46 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-08 1 1 106,46 106,46 106,46 106,46 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-09 1 1 106,47 106,47 106,47 106,47 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-10 1 1 106,47 106,47 106,47 106,47 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-11 1 1 106,48 106,48 106,48 106,48 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-14 1 1 106,49 106,49 106,49 106,49 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-15 1 1 106,49 106,49 106,49 106,49 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-16 1 1 106,49 106,49 106,49 106,49 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-17 1 1 106,5 106,5 106,5 106,5 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-18 1 1 106,5 106,5 106,5 106,5 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-21 1 1 106,51 106,51 106,51 106,51 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-22 1 1 106,52 106,52 106,52 106,52 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-23 1 1 106,52 106,52 106,52 106,52 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-24 1 1 106,53 106,53 106,53 106,53 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-25 1 1 106,53 106,53 106,53 106,53 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-28 1 1 106,54 106,54 106,54 106,54 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-29 1 1 106,54 106,54 106,54 106,54 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-11-30 1 1 106,54 106,54 106,54 106,54 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-01 1 1 106,54 106,54 106,54 106,54 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-02 1 1 106,55 106,55 106,55 106,55 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-05 1 1 106,56 106,56 106,56 106,56 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-06 1 1 106,57 106,57 106,57 106,57 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-07 1 1 106,57 106,57 106,57 106,57 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-08 1 1 106,57 106,57 106,57 106,57 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-12 1 1 104,16 104,16 104,16 104,16 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-13 1 1 104,16 104,16 104,16 104,16 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-14 1 1 104,16 104,16 104,16 104,16 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-15 1 1 104,17 104,17 104,17 104,17 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-16 1 1 104,17 104,17 104,17 104,17 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-19 1 1 104,18 104,18 104,18 104,18 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-20 1 1 104,18 104,18 104,18 104,18 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-21 1 1 104,18 104,18 104,18 104,18 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-22 1 1 104,19 104,19 104,19 104,19 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-23 1 1 104,19 104,19 104,19 104,19 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-27 1 1 104,21 104,21 104,21 104,21 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-28 1 1 104,21 104,21 104,21 104,21 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-29 1 1 104,22 104,22 104,22 104,22 478313 Lannebo Fonder AB Lannebo Likviditetsfond SEK 2005-12-30 1 1 104,23 104,23 104,23 104,23 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-03 1 1 9,21 9,21 9,21 9,21 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-04 1 1 9,23 9,23 9,23 9,23 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-05 1 1 9,21 9,21 9,21 9,21 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-07 1 1 9,23 9,23 9,23 9,23 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-10 1 1 9,28 9,28 9,28 9,28 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-11 1 1 9,23 9,23 9,23 9,23 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-12 1 1 9,14 9,14 9,14 9,14 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-13 1 1 9,16 9,16 9,16 9,16 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-14 1 1 9,19 9,19 9,19 9,19 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-17 1 1 9,21 9,21 9,21 9,21 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-18 1 1 9,18 9,18 9,18 9,18 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-19 1 1 9,2 9,2 9,2 9,2 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-20 1 1 9,16 9,16 9,16 9,16 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-21 1 1 9,13 9,13 9,13 9,13 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-24 1 1 9,07 9,07 9,07 9,07 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-25 1 1 9,12 9,12 9,12 9,12 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-26 1 1 9,12 9,12 9,12 9,12 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-27 1 1 9,14 9,14 9,14 9,14 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-28 1 1 9,11 9,11 9,11 9,11 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-01-31 1 1 9,16 9,16 9,16 9,16 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-01 1 1 9,19 9,19 9,19 9,19 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-02 1 1 9,23 9,23 9,23 9,23 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-03 1 1 9,23 9,23 9,23 9,23 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-04 1 1 9,3 9,3 9,3 9,3 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-07 1 1 9,35 9,35 9,35 9,35 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-08 1 1 9,36 9,36 9,36 9,36 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-09 1 1 9,4 9,4 9,4 9,4 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-10 1 1 9,32 9,32 9,32 9,32 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-11 1 1 9,39 9,39 9,39 9,39 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-14 1 1 9,42 9,42 9,42 9,42 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-15 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-16 1 1 9,41 9,41 9,41 9,41 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-17 1 1 9,44 9,44 9,44 9,44 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-18 1 1 9,4 9,4 9,4 9,4 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-21 1 1 9,43 9,43 9,43 9,43 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-22 1 1 9,39 9,39 9,39 9,39 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-23 1 1 9,39 9,39 9,39 9,39 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-24 1 1 9,42 9,42 9,42 9,42 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-25 1 1 9,46 9,46 9,46 9,46 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-02-28 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-01 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-02 1 1 9,48 9,48 9,48 9,48 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-03 1 1 9,5 9,5 9,5 9,5 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-04 1 1 9,53 9,53 9,53 9,53 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-07 1 1 9,52 9,52 9,52 9,52 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-08 1 1 9,52 9,52 9,52 9,52 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-09 1 1 9,52 9,52 9,52 9,52 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-10 1 1 9,46 9,46 9,46 9,46 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-11 1 1 9,48 9,48 9,48 9,48 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-14 1 1 9,51 9,51 9,51 9,51 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-15 1 1 9,53 9,53 9,53 9,53 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-16 1 1 9,49 9,49 9,49 9,49 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-17 1 1 9,48 9,48 9,48 9,48 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-18 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-21 1 1 9,44 9,44 9,44 9,44 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-22 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-23 1 1 9,43 9,43 9,43 9,43 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-24 1 1 9,48 9,48 9,48 9,48 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-29 1 1 9,45 9,45 9,45 9,45 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-30 1 1 9,41 9,41 9,41 9,41 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-03-31 1 1 9,44 9,44 9,44 9,44 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-01 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-04 1 1 9,45 9,45 9,45 9,45 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-05 1 1 9,5 9,5 9,5 9,5 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-06 1 1 9,52 9,52 9,52 9,52 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-07 1 1 9,53 9,53 9,53 9,53 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-08 1 1 9,54 9,54 9,54 9,54 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-11 1 1 9,54 9,54 9,54 9,54 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-12 1 1 9,53 9,53 9,53 9,53 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-13 1 1 9,56 9,56 9,56 9,56 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-14 1 1 9,59 9,59 9,59 9,59 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-15 1 1 9,54 9,54 9,54 9,54 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-18 1 1 9,45 9,45 9,45 9,45 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-19 1 1 9,46 9,46 9,46 9,46 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-20 1 1 9,5 9,5 9,5 9,5 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-21 1 1 9,48 9,48 9,48 9,48 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-22 1 1 9,51 9,51 9,51 9,51 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-25 1 1 9,48 9,48 9,48 9,48 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-26 1 1 9,45 9,45 9,45 9,45 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-27 1 1 9,33 9,33 9,33 9,33 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-28 1 1 9,3 9,3 9,3 9,3 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-04-29 1 1 9,31 9,31 9,31 9,31 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-02 1 1 9,35 9,35 9,35 9,35 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-03 1 1 9,33 9,33 9,33 9,33 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-04 1 1 9,33 9,33 9,33 9,33 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-06 1 1 9,37 9,37 9,37 9,37 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-09 1 1 9,36 9,36 9,36 9,36 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-10 1 1 9,34 9,34 9,34 9,34 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-11 1 1 9,33 9,33 9,33 9,33 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-12 1 1 9,37 9,37 9,37 9,37 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-13 1 1 9,38 9,38 9,38 9,38 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-16 1 1 9,39 9,39 9,39 9,39 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-17 1 1 9,39 9,39 9,39 9,39 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-18 1 1 9,43 9,43 9,43 9,43 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-19 1 1 9,42 9,42 9,42 9,42 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-20 1 1 9,42 9,42 9,42 9,42 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-23 1 1 9,41 9,41 9,41 9,41 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-24 1 1 9,43 9,43 9,43 9,43 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-25 1 1 9,45 9,45 9,45 9,45 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-26 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-27 1 1 9,48 9,48 9,48 9,48 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-30 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-05-31 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-01 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-02 1 1 9,45 9,45 9,45 9,45 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-03 1 1 9,44 9,44 9,44 9,44 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-07 1 1 9,47 9,47 9,47 9,47 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-08 1 1 9,49 9,49 9,49 9,49 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-09 1 1 9,5 9,5 9,5 9,5 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-10 1 1 9,52 9,52 9,52 9,52 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-13 1 1 9,51 9,51 9,51 9,51 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-14 1 1 9,52 9,52 9,52 9,52 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-15 1 1 9,5 9,5 9,5 9,5 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-16 1 1 9,53 9,53 9,53 9,53 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-17 1 1 9,54 9,54 9,54 9,54 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-20 1 1 9,53 9,53 9,53 9,53 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-21 1 1 9,56 9,56 9,56 9,56 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-22 1 1 9,56 9,56 9,56 9,56 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-23 1 1 9,58 9,58 9,58 9,58 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-27 1 1 9,51 9,51 9,51 9,51 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-28 1 1 9,54 9,54 9,54 9,54 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-29 1 1 9,6 9,6 9,6 9,6 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-06-30 1 1 9,63 9,63 9,63 9,63 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-01 1 1 9,67 9,67 9,67 9,67 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-04 1 1 9,68 9,68 9,68 9,68 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-05 1 1 9,67 9,67 9,67 9,67 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-06 1 1 9,68 9,68 9,68 9,68 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-07 1 1 9,59 9,59 9,59 9,59 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-08 1 1 9,68 9,68 9,68 9,68 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-11 1 1 9,79 9,79 9,79 9,79 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-12 1 1 9,79 9,79 9,79 9,79 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-13 1 1 9,82 9,82 9,82 9,82 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-14 1 1 9,81 9,81 9,81 9,81 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-15 1 1 9,8 9,8 9,8 9,8 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-18 1 1 9,79 9,79 9,79 9,79 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-19 1 1 9,78 9,78 9,78 9,78 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-20 1 1 9,77 9,77 9,77 9,77 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-21 1 1 9,83 9,83 9,83 9,83 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-22 1 1 9,85 9,85 9,85 9,85 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-25 1 1 9,84 9,84 9,84 9,84 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-26 1 1 9,84 9,84 9,84 9,84 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-27 1 1 9,86 9,86 9,86 9,86 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-28 1 1 9,89 9,89 9,89 9,89 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-07-29 1 1 9,88 9,88 9,88 9,88 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-01 1 1 9,89 9,89 9,89 9,89 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-02 1 1 9,96 9,96 9,96 9,96 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-03 1 1 9,97 9,97 9,97 9,97 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-04 1 1 9,92 9,92 9,92 9,92 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-05 1 1 9,89 9,89 9,89 9,89 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-08 1 1 9,87 9,87 9,87 9,87 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-09 1 1 9,88 9,88 9,88 9,88 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-10 1 1 9,95 9,95 9,95 9,95 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-11 1 1 9,93 9,93 9,93 9,93 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-12 1 1 9,89 9,89 9,89 9,89 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-15 1 1 9,89 9,89 9,89 9,89 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-16 1 1 9,89 9,89 9,89 9,89 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-17 1 1 9,9 9,9 9,9 9,9 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-18 1 1 9,93 9,93 9,93 9,93 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-19 1 1 9,92 9,92 9,92 9,92 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-22 1 1 9,96 9,96 9,96 9,96 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-23 1 1 9,96 9,96 9,96 9,96 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-24 1 1 9,91 9,91 9,91 9,91 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-25 1 1 9,85 9,85 9,85 9,85 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-26 1 1 9,84 9,84 9,84 9,84 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-29 1 1 9,84 9,84 9,84 9,84 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-30 1 1 9,87 9,87 9,87 9,87 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-08-31 1 1 9,88 9,88 9,88 9,88 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-01 1 1 9,91 9,91 9,91 9,91 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-02 1 1 9,91 9,91 9,91 9,91 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-05 1 1 9,93 9,93 9,93 9,93 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-06 1 1 9,98 9,98 9,98 9,98 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-07 1 1 10,02 10,02 10,02 10,02 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-08 1 1 10,01 10,01 10,01 10,01 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-09 1 1 10,04 10,04 10,04 10,04 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-12 1 1 10,04 10,04 10,04 10,04 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-13 1 1 10,02 10,02 10,02 10,02 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-14 1 1 10,05 10,05 10,05 10,05 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-15 1 1 10,01 10,01 10,01 10,01 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-16 1 1 10,04 10,04 10,04 10,04 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-19 1 1 10,09 10,09 10,09 10,09 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-20 1 1 10,07 10,07 10,07 10,07 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-21 1 1 10,04 10,04 10,04 10,04 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-22 1 1 10,03 10,03 10,03 10,03 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-23 1 1 10,03 10,03 10,03 10,03 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-26 1 1 10,06 10,06 10,06 10,06 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-27 1 1 10,09 10,09 10,09 10,09 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-28 1 1 10,1 10,1 10,1 10,1 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-29 1 1 10,09 10,09 10,09 10,09 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-09-30 1 1 10,1 10,1 10,1 10,1 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-03 1 1 10,14 10,14 10,14 10,14 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-04 1 1 10,16 10,16 10,16 10,16 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-05 1 1 10,13 10,13 10,13 10,13 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-06 1 1 10,07 10,07 10,07 10,07 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-07 1 1 10,07 10,07 10,07 10,07 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-10 1 1 10,07 10,07 10,07 10,07 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-11 1 1 10,08 10,08 10,08 10,08 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-12 1 1 10,03 10,03 10,03 10,03 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-13 1 1 9,98 9,98 9,98 9,98 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-14 1 1 9,97 9,97 9,97 9,97 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-17 1 1 9,96 9,96 9,96 9,96 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-18 1 1 9,94 9,94 9,94 9,94 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-19 1 1 9,86 9,86 9,86 9,86 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-20 1 1 9,82 9,82 9,82 9,82 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-21 1 1 9,75 9,75 9,75 9,75 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-24 1 1 9,83 9,83 9,83 9,83 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-25 1 1 9,85 9,85 9,85 9,85 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-26 1 1 9,9 9,9 9,9 9,9 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-27 1 1 9,82 9,82 9,82 9,82 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-28 1 1 9,82 9,82 9,82 9,82 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-10-31 1 1 9,94 9,94 9,94 9,94 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-01 1 1 9,94 9,94 9,94 9,94 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-02 1 1 9,97 9,97 9,97 9,97 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-03 1 1 10,07 10,07 10,07 10,07 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-04 1 1 10,06 10,06 10,06 10,06 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-07 1 1 10,11 10,11 10,11 10,11 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-08 1 1 10,09 10,09 10,09 10,09 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-09 1 1 10,09 10,09 10,09 10,09 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-10 1 1 10,08 10,08 10,08 10,08 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-11 1 1 10,14 10,14 10,14 10,14 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-14 1 1 10,15 10,15 10,15 10,15 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-15 1 1 10,14 10,14 10,14 10,14 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-16 1 1 10,14 10,14 10,14 10,14 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-17 1 1 10,17 10,17 10,17 10,17 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-18 1 1 10,21 10,21 10,21 10,21 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-21 1 1 10,22 10,22 10,22 10,22 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-22 1 1 10,2 10,2 10,2 10,2 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-23 1 1 10,23 10,23 10,23 10,23 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-24 1 1 10,22 10,22 10,22 10,22 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-25 1 1 10,25 10,25 10,25 10,25 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-28 1 1 10,24 10,24 10,24 10,24 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-29 1 1 10,26 10,26 10,26 10,26 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-11-30 1 1 10,24 10,24 10,24 10,24 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-01 1 1 10,29 10,29 10,29 10,29 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-02 1 1 10,33 10,33 10,33 10,33 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-05 1 1 10,29 10,29 10,29 10,29 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-06 1 1 10,33 10,33 10,33 10,33 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-07 1 1 10,33 10,33 10,33 10,33 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-08 1 1 10,34 10,34 10,34 10,34 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-12 1 1 10,28 10,28 10,28 10,28 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-13 1 1 10,29 10,29 10,29 10,29 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-14 1 1 10,28 10,28 10,28 10,28 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-15 1 1 10,26 10,26 10,26 10,26 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-16 1 1 10,31 10,31 10,31 10,31 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-19 1 1 10,32 10,32 10,32 10,32 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-20 1 1 10,31 10,31 10,31 10,31 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-21 1 1 10,35 10,35 10,35 10,35 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-22 1 1 10,37 10,37 10,37 10,37 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-23 1 1 10,4 10,4 10,4 10,4 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-27 1 1 10,44 10,44 10,44 10,44 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-28 1 1 10,42 10,42 10,42 10,42 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-29 1 1 10,46 10,46 10,46 10,46 878520 Lannebo Fonder AB Lannebo Mix SEK 2005-12-30 1 1 10,45 10,45 10,45 10,45 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-03 1 1 16,52 16,52 16,52 16,52 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-04 1 1 16,54 16,54 16,54 16,54 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-05 1 1 16,56 16,56 16,56 16,56 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-07 1 1 16,57 16,57 16,57 16,57 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-10 1 1 16,61 16,61 16,61 16,61 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-11 1 1 16,58 16,58 16,58 16,58 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-12 1 1 16,49 16,49 16,49 16,49 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-13 1 1 16,57 16,57 16,57 16,57 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-14 1 1 16,64 16,64 16,64 16,64 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-17 1 1 16,77 16,77 16,77 16,77 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-18 1 1 16,74 16,74 16,74 16,74 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-19 1 1 16,8 16,8 16,8 16,8 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-20 1 1 16,69 16,69 16,69 16,69 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-21 1 1 16,72 16,72 16,72 16,72 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-24 1 1 16,65 16,65 16,65 16,65 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-25 1 1 16,77 16,77 16,77 16,77 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-26 1 1 16,84 16,84 16,84 16,84 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-27 1 1 16,89 16,89 16,89 16,89 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-28 1 1 16,92 16,92 16,92 16,92 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-01-31 1 1 17,01 17,01 17,01 17,01 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-01 1 1 17,12 17,12 17,12 17,12 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-02 1 1 17,22 17,22 17,22 17,22 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-03 1 1 17,21 17,21 17,21 17,21 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-04 1 1 17,36 17,36 17,36 17,36 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-07 1 1 17,53 17,53 17,53 17,53 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-08 1 1 17,6 17,6 17,6 17,6 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-09 1 1 17,59 17,59 17,59 17,59 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-10 1 1 17,44 17,44 17,44 17,44 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-11 1 1 17,45 17,45 17,45 17,45 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-14 1 1 17,52 17,52 17,52 17,52 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-15 1 1 17,6 17,6 17,6 17,6 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-16 1 1 17,62 17,62 17,62 17,62 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-17 1 1 17,72 17,72 17,72 17,72 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-18 1 1 17,73 17,73 17,73 17,73 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-21 1 1 17,75 17,75 17,75 17,75 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-22 1 1 17,71 17,71 17,71 17,71 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-23 1 1 17,72 17,72 17,72 17,72 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-24 1 1 17,85 17,85 17,85 17,85 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-25 1 1 18,07 18,07 18,07 18,07 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-02-28 1 1 18,06 18,06 18,06 18,06 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-01 1 1 18,11 18,11 18,11 18,11 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-02 1 1 18,19 18,19 18,19 18,19 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-03 1 1 18,22 18,22 18,22 18,22 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-04 1 1 18,38 18,38 18,38 18,38 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-07 1 1 18,39 18,39 18,39 18,39 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-08 1 1 18,38 18,38 18,38 18,38 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-09 1 1 18,41 18,41 18,41 18,41 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-10 1 1 18,29 18,29 18,29 18,29 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-11 1 1 18,35 18,35 18,35 18,35 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-14 1 1 18,36 18,36 18,36 18,36 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-15 1 1 18,46 18,46 18,46 18,46 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-16 1 1 18,43 18,43 18,43 18,43 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-17 1 1 18,45 18,45 18,45 18,45 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-18 1 1 18,46 18,46 18,46 18,46 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-21 1 1 18,41 18,41 18,41 18,41 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-22 1 1 18,46 18,46 18,46 18,46 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-23 1 1 18,34 18,34 18,34 18,34 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-24 1 1 18,45 18,45 18,45 18,45 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-29 1 1 18,44 18,44 18,44 18,44 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-30 1 1 18,33 18,33 18,33 18,33 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-03-31 1 1 18,47 18,47 18,47 18,47 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-01 1 1 18,5 18,5 18,5 18,5 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-04 1 1 18,48 18,48 18,48 18,48 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-05 1 1 18,62 18,62 18,62 18,62 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-06 1 1 18,72 18,72 18,72 18,72 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-07 1 1 18,74 18,74 18,74 18,74 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-08 1 1 18,81 18,81 18,81 18,81 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-11 1 1 18,77 18,77 18,77 18,77 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-12 1 1 18,69 18,69 18,69 18,69 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-13 1 1 18,79 18,79 18,79 18,79 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-14 1 1 18,77 18,77 18,77 18,77 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-15 1 1 18,55 18,55 18,55 18,55 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-18 1 1 18,16 18,16 18,16 18,16 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-19 1 1 18,27 18,27 18,27 18,27 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-20 1 1 18,26 18,26 18,26 18,26 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-21 1 1 18,18 18,18 18,18 18,18 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-22 1 1 18,24 18,24 18,24 18,24 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-25 1 1 18,17 18,17 18,17 18,17 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-26 1 1 18,06 18,06 18,06 18,06 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-27 1 1 17,66 17,66 17,66 17,66 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-28 1 1 17,52 17,52 17,52 17,52 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-04-29 1 1 17,55 17,55 17,55 17,55 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-02 1 1 17,69 17,69 17,69 17,69 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-03 1 1 17,72 17,72 17,72 17,72 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-04 1 1 17,7 17,7 17,7 17,7 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-06 1 1 17,75 17,75 17,75 17,75 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-09 1 1 17,68 17,68 17,68 17,68 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-10 1 1 17,64 17,64 17,64 17,64 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-11 1 1 17,58 17,58 17,58 17,58 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-12 1 1 17,66 17,66 17,66 17,66 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-13 1 1 17,74 17,74 17,74 17,74 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-16 1 1 17,77 17,77 17,77 17,77 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-17 1 1 17,81 17,81 17,81 17,81 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-18 1 1 17,94 17,94 17,94 17,94 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-19 1 1 18,01 18,01 18,01 18,01 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-20 1 1 17,94 17,94 17,94 17,94 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-23 1 1 17,98 17,98 17,98 17,98 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-24 1 1 18,01 18,01 18,01 18,01 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-25 1 1 18,08 18,08 18,08 18,08 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-26 1 1 18,19 18,19 18,19 18,19 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-27 1 1 18,23 18,23 18,23 18,23 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-30 1 1 18,23 18,23 18,23 18,23 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-05-31 1 1 18,23 18,23 18,23 18,23 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-01 1 1 18,17 18,17 18,17 18,17 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-02 1 1 18,08 18,08 18,08 18,08 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-03 1 1 18,15 18,15 18,15 18,15 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-07 1 1 18,21 18,21 18,21 18,21 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-08 1 1 18,3 18,3 18,3 18,3 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-09 1 1 18,37 18,37 18,37 18,37 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-10 1 1 18,56 18,56 18,56 18,56 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-13 1 1 18,69 18,69 18,69 18,69 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-14 1 1 18,75 18,75 18,75 18,75 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-15 1 1 18,72 18,72 18,72 18,72 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-16 1 1 18,7 18,7 18,7 18,7 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-17 1 1 18,76 18,76 18,76 18,76 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-20 1 1 18,71 18,71 18,71 18,71 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-21 1 1 18,76 18,76 18,76 18,76 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-22 1 1 18,71 18,71 18,71 18,71 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-23 1 1 18,7 18,7 18,7 18,7 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-27 1 1 18,45 18,45 18,45 18,45 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-28 1 1 18,56 18,56 18,56 18,56 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-29 1 1 18,66 18,66 18,66 18,66 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-06-30 1 1 18,72 18,72 18,72 18,72 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-01 1 1 18,74 18,74 18,74 18,74 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-04 1 1 18,81 18,81 18,81 18,81 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-05 1 1 18,81 18,81 18,81 18,81 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-06 1 1 18,77 18,77 18,77 18,77 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-07 1 1 18,53 18,53 18,53 18,53 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-08 1 1 18,79 18,79 18,79 18,79 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-11 1 1 19 19 19 19 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-12 1 1 19,02 19,02 19,02 19,02 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-13 1 1 19,07 19,07 19,07 19,07 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-14 1 1 19,06 19,06 19,06 19,06 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-15 1 1 19,09 19,09 19,09 19,09 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-18 1 1 19,06 19,06 19,06 19,06 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-19 1 1 19,05 19,05 19,05 19,05 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-20 1 1 19,16 19,16 19,16 19,16 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-21 1 1 19,42 19,42 19,42 19,42 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-22 1 1 19,54 19,54 19,54 19,54 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-25 1 1 19,53 19,53 19,53 19,53 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-26 1 1 19,47 19,47 19,47 19,47 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-27 1 1 19,48 19,48 19,48 19,48 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-28 1 1 19,57 19,57 19,57 19,57 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-07-29 1 1 19,58 19,58 19,58 19,58 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-01 1 1 19,64 19,64 19,64 19,64 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-02 1 1 19,74 19,74 19,74 19,74 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-03 1 1 19,75 19,75 19,75 19,75 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-04 1 1 19,69 19,69 19,69 19,69 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-05 1 1 19,62 19,62 19,62 19,62 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-08 1 1 19,85 19,85 19,85 19,85 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-09 1 1 20,13 20,13 20,13 20,13 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-10 1 1 20,44 20,44 20,44 20,44 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-11 1 1 20,31 20,31 20,31 20,31 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-12 1 1 20,27 20,27 20,27 20,27 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-15 1 1 20,32 20,32 20,32 20,32 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-16 1 1 20,4 20,4 20,4 20,4 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-17 1 1 20,47 20,47 20,47 20,47 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-18 1 1 20,54 20,54 20,54 20,54 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-19 1 1 20,64 20,64 20,64 20,64 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-22 1 1 20,73 20,73 20,73 20,73 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-23 1 1 20,67 20,67 20,67 20,67 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-24 1 1 20,49 20,49 20,49 20,49 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-25 1 1 20,28 20,28 20,28 20,28 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-26 1 1 20,32 20,32 20,32 20,32 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-29 1 1 20,34 20,34 20,34 20,34 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-30 1 1 20,42 20,42 20,42 20,42 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-08-31 1 1 20,55 20,55 20,55 20,55 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-01 1 1 20,7 20,7 20,7 20,7 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-02 1 1 20,62 20,62 20,62 20,62 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-05 1 1 20,74 20,74 20,74 20,74 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-06 1 1 20,89 20,89 20,89 20,89 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-07 1 1 21,04 21,04 21,04 21,04 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-08 1 1 21,04 21,04 21,04 21,04 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-09 1 1 21,15 21,15 21,15 21,15 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-12 1 1 21,15 21,15 21,15 21,15 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-13 1 1 21,13 21,13 21,13 21,13 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-14 1 1 21,14 21,14 21,14 21,14 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-15 1 1 21,16 21,16 21,16 21,16 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-16 1 1 21,23 21,23 21,23 21,23 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-19 1 1 21,34 21,34 21,34 21,34 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-20 1 1 21,32 21,32 21,32 21,32 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-21 1 1 21,23 21,23 21,23 21,23 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-22 1 1 21,21 21,21 21,21 21,21 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-23 1 1 21,23 21,23 21,23 21,23 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-26 1 1 21,36 21,36 21,36 21,36 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-27 1 1 21,41 21,41 21,41 21,41 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-28 1 1 21,53 21,53 21,53 21,53 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-29 1 1 21,5 21,5 21,5 21,5 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-09-30 1 1 21,6 21,6 21,6 21,6 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-03 1 1 21,74 21,74 21,74 21,74 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-04 1 1 21,72 21,72 21,72 21,72 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-05 1 1 21,65 21,65 21,65 21,65 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-06 1 1 21,36 21,36 21,36 21,36 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-07 1 1 21,38 21,38 21,38 21,38 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-10 1 1 21,46 21,46 21,46 21,46 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-11 1 1 21,49 21,49 21,49 21,49 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-12 1 1 21,32 21,32 21,32 21,32 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-13 1 1 21,11 21,11 21,11 21,11 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-14 1 1 21,03 21,03 21,03 21,03 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-17 1 1 20,92 20,92 20,92 20,92 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-18 1 1 20,94 20,94 20,94 20,94 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-19 1 1 20,58 20,58 20,58 20,58 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-20 1 1 20,66 20,66 20,66 20,66 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-21 1 1 20,45 20,45 20,45 20,45 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-24 1 1 20,6 20,6 20,6 20,6 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-25 1 1 20,86 20,86 20,86 20,86 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-26 1 1 20,95 20,95 20,95 20,95 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-27 1 1 20,89 20,89 20,89 20,89 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-28 1 1 20,97 20,97 20,97 20,97 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-10-31 1 1 21,28 21,28 21,28 21,28 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-01 1 1 21,43 21,43 21,43 21,43 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-02 1 1 21,6 21,6 21,6 21,6 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-03 1 1 21,74 21,74 21,74 21,74 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-04 1 1 21,73 21,73 21,73 21,73 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-07 1 1 21,76 21,76 21,76 21,76 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-08 1 1 21,71 21,71 21,71 21,71 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-09 1 1 21,69 21,69 21,69 21,69 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-10 1 1 21,7 21,7 21,7 21,7 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-11 1 1 21,75 21,75 21,75 21,75 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-14 1 1 21,81 21,81 21,81 21,81 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-15 1 1 21,83 21,83 21,83 21,83 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-16 1 1 21,74 21,74 21,74 21,74 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-17 1 1 21,84 21,84 21,84 21,84 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-18 1 1 21,99 21,99 21,99 21,99 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-21 1 1 22,08 22,08 22,08 22,08 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-22 1 1 22,15 22,15 22,15 22,15 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-23 1 1 22,11 22,11 22,11 22,11 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-24 1 1 22,09 22,09 22,09 22,09 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-25 1 1 22,14 22,14 22,14 22,14 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-28 1 1 22,15 22,15 22,15 22,15 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-29 1 1 22,22 22,22 22,22 22,22 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-11-30 1 1 22,21 22,21 22,21 22,21 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-01 1 1 22,32 22,32 22,32 22,32 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-02 1 1 22,46 22,46 22,46 22,46 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-05 1 1 22,48 22,48 22,48 22,48 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-06 1 1 22,53 22,53 22,53 22,53 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-07 1 1 22,62 22,62 22,62 22,62 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-08 1 1 22,61 22,61 22,61 22,61 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-12 1 1 22,48 22,48 22,48 22,48 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-13 1 1 22,52 22,52 22,52 22,52 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-14 1 1 22,39 22,39 22,39 22,39 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-15 1 1 22,4 22,4 22,4 22,4 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-16 1 1 22,52 22,52 22,52 22,52 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-19 1 1 22,57 22,57 22,57 22,57 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-20 1 1 22,6 22,6 22,6 22,6 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-21 1 1 22,76 22,76 22,76 22,76 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-22 1 1 22,88 22,88 22,88 22,88 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-23 1 1 22,98 22,98 22,98 22,98 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-27 1 1 23,11 23,11 23,11 23,11 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-28 1 1 23,1 23,1 23,1 23,1 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-29 1 1 23,2 23,2 23,2 23,2 842690 Lannebo Fonder AB Lannebo Småbolag SEK 2005-12-30 1 1 23,21 23,21 23,21 23,21 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-03 1 1 12,08 12,08 12,08 12,08 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-04 1 1 12,13 12,13 12,13 12,13 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-05 1 1 12,05 12,05 12,05 12,05 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-07 1 1 12,08 12,08 12,08 12,08 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-10 1 1 12,21 12,21 12,21 12,21 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-11 1 1 12,08 12,08 12,08 12,08 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-12 1 1 11,89 11,89 11,89 11,89 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-13 1 1 11,93 11,93 11,93 11,93 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-14 1 1 12,01 12,01 12,01 12,01 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-17 1 1 12,07 12,07 12,07 12,07 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-18 1 1 12,01 12,01 12,01 12,01 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-19 1 1 12,04 12,04 12,04 12,04 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-20 1 1 11,94 11,94 11,94 11,94 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-21 1 1 11,91 11,91 11,91 11,91 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-24 1 1 11,79 11,79 11,79 11,79 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-25 1 1 11,89 11,89 11,89 11,89 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-26 1 1 11,9 11,9 11,9 11,9 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-27 1 1 11,95 11,95 11,95 11,95 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-28 1 1 11,9 11,9 11,9 11,9 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-01-31 1 1 11,97 11,97 11,97 11,97 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-01 1 1 12,05 12,05 12,05 12,05 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-02 1 1 12,11 12,11 12,11 12,11 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-03 1 1 12,12 12,12 12,12 12,12 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-04 1 1 12,23 12,23 12,23 12,23 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-07 1 1 12,33 12,33 12,33 12,33 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-08 1 1 12,38 12,38 12,38 12,38 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-09 1 1 12,44 12,44 12,44 12,44 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-10 1 1 12,28 12,28 12,28 12,28 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-11 1 1 12,41 12,41 12,41 12,41 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-14 1 1 12,45 12,45 12,45 12,45 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-15 1 1 12,54 12,54 12,54 12,54 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-16 1 1 12,41 12,41 12,41 12,41 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-17 1 1 12,49 12,49 12,49 12,49 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-18 1 1 12,42 12,42 12,42 12,42 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-21 1 1 12,45 12,45 12,45 12,45 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-22 1 1 12,39 12,39 12,39 12,39 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-23 1 1 12,4 12,4 12,4 12,4 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-24 1 1 12,46 12,46 12,46 12,46 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-25 1 1 12,55 12,55 12,55 12,55 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-02-28 1 1 12,58 12,58 12,58 12,58 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-01 1 1 12,59 12,59 12,59 12,59 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-02 1 1 12,6 12,6 12,6 12,6 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-03 1 1 12,65 12,65 12,65 12,65 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-04 1 1 12,72 12,72 12,72 12,72 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-07 1 1 12,7 12,7 12,7 12,7 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-08 1 1 12,69 12,69 12,69 12,69 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-09 1 1 12,68 12,68 12,68 12,68 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-10 1 1 12,56 12,56 12,56 12,56 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-11 1 1 12,61 12,61 12,61 12,61 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-14 1 1 12,68 12,68 12,68 12,68 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-15 1 1 12,72 12,72 12,72 12,72 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-16 1 1 12,62 12,62 12,62 12,62 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-17 1 1 12,61 12,61 12,61 12,61 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-18 1 1 12,59 12,59 12,59 12,59 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-21 1 1 12,55 12,55 12,55 12,55 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-22 1 1 12,61 12,61 12,61 12,61 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-23 1 1 12,55 12,55 12,55 12,55 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-24 1 1 12,64 12,64 12,64 12,64 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-29 1 1 12,6 12,6 12,6 12,6 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-30 1 1 12,52 12,52 12,52 12,52 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-03-31 1 1 12,6 12,6 12,6 12,6 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-01 1 1 12,65 12,65 12,65 12,65 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-04 1 1 12,62 12,62 12,62 12,62 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-05 1 1 12,75 12,75 12,75 12,75 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-06 1 1 12,83 12,83 12,83 12,83 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-07 1 1 12,86 12,86 12,86 12,86 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-08 1 1 12,91 12,91 12,91 12,91 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-11 1 1 12,94 12,94 12,94 12,94 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-12 1 1 12,9 12,9 12,9 12,9 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-13 1 1 13 13 13 13 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-14 1 1 13,04 13,04 13,04 13,04 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-15 1 1 12,88 12,88 12,88 12,88 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-18 1 1 12,63 12,63 12,63 12,63 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-19 1 1 12,66 12,66 12,66 12,66 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-20 1 1 12,74 12,74 12,74 12,74 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-21 1 1 12,71 12,71 12,71 12,71 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-22 1 1 12,82 12,82 12,82 12,82 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-25 1 1 12,77 12,77 12,77 12,77 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-26 1 1 12,71 12,71 12,71 12,71 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-27 1 1 12,36 12,36 12,36 12,36 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-28 1 1 12,25 12,25 12,25 12,25 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-04-29 1 1 12,25 12,25 12,25 12,25 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-02 1 1 12,4 12,4 12,4 12,4 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-03 1 1 12,36 12,36 12,36 12,36 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-04 1 1 12,39 12,39 12,39 12,39 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-06 1 1 12,52 12,52 12,52 12,52 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-09 1 1 12,5 12,5 12,5 12,5 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-10 1 1 12,43 12,43 12,43 12,43 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-11 1 1 12,41 12,41 12,41 12,41 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-12 1 1 12,5 12,5 12,5 12,5 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-13 1 1 12,54 12,54 12,54 12,54 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-16 1 1 12,58 12,58 12,58 12,58 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-17 1 1 12,6 12,6 12,6 12,6 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-18 1 1 12,72 12,72 12,72 12,72 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-19 1 1 12,74 12,74 12,74 12,74 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-20 1 1 12,73 12,73 12,73 12,73 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-23 1 1 12,7 12,7 12,7 12,7 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-24 1 1 12,76 12,76 12,76 12,76 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-25 1 1 12,8 12,8 12,8 12,8 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-26 1 1 12,89 12,89 12,89 12,89 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-27 1 1 12,93 12,93 12,93 12,93 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-30 1 1 12,94 12,94 12,94 12,94 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-05-31 1 1 12,95 12,95 12,95 12,95 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-01 1 1 12,94 12,94 12,94 12,94 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-02 1 1 12,88 12,88 12,88 12,88 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-03 1 1 12,85 12,85 12,85 12,85 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-07 1 1 12,94 12,94 12,94 12,94 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-08 1 1 13 13 13 13 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-09 1 1 13,03 13,03 13,03 13,03 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-10 1 1 13,09 13,09 13,09 13,09 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-13 1 1 13,1 13,1 13,1 13,1 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-14 1 1 13,13 13,13 13,13 13,13 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-15 1 1 13,06 13,06 13,06 13,06 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-16 1 1 13,12 13,12 13,12 13,12 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-17 1 1 13,14 13,14 13,14 13,14 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-20 1 1 13,13 13,13 13,13 13,13 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-21 1 1 13,2 13,2 13,2 13,2 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-22 1 1 13,19 13,19 13,19 13,19 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-23 1 1 13,24 13,24 13,24 13,24 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-27 1 1 13,09 13,09 13,09 13,09 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-28 1 1 13,14 13,14 13,14 13,14 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-29 1 1 13,3 13,3 13,3 13,3 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-06-30 1 1 13,34 13,34 13,34 13,34 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-01 1 1 13,42 13,42 13,42 13,42 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-04 1 1 13,46 13,46 13,46 13,46 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-05 1 1 13,43 13,43 13,43 13,43 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-06 1 1 13,46 13,46 13,46 13,46 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-07 1 1 13,27 13,27 13,27 13,27 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-08 1 1 13,47 13,47 13,47 13,47 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-11 1 1 13,66 13,66 13,66 13,66 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-12 1 1 13,68 13,68 13,68 13,68 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-13 1 1 13,75 13,75 13,75 13,75 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-14 1 1 13,75 13,75 13,75 13,75 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-15 1 1 13,74 13,74 13,74 13,74 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-18 1 1 13,73 13,73 13,73 13,73 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-19 1 1 13,7 13,7 13,7 13,7 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-20 1 1 13,68 13,68 13,68 13,68 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-21 1 1 13,79 13,79 13,79 13,79 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-22 1 1 13,84 13,84 13,84 13,84 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-25 1 1 13,81 13,81 13,81 13,81 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-26 1 1 13,8 13,8 13,8 13,8 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-27 1 1 13,85 13,85 13,85 13,85 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-28 1 1 13,91 13,91 13,91 13,91 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-07-29 1 1 13,89 13,89 13,89 13,89 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-01 1 1 13,91 13,91 13,91 13,91 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-02 1 1 14,04 14,04 14,04 14,04 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-03 1 1 14,08 14,08 14,08 14,08 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-04 1 1 13,96 13,96 13,96 13,96 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-05 1 1 13,91 13,91 13,91 13,91 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-08 1 1 13,87 13,87 13,87 13,87 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-09 1 1 13,89 13,89 13,89 13,89 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-10 1 1 14,04 14,04 14,04 14,04 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-11 1 1 14 14 14 14 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-12 1 1 13,92 13,92 13,92 13,92 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-15 1 1 13,9 13,9 13,9 13,9 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-16 1 1 13,9 13,9 13,9 13,9 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-17 1 1 13,9 13,9 13,9 13,9 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-18 1 1 13,95 13,95 13,95 13,95 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-19 1 1 13,97 13,97 13,97 13,97 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-22 1 1 14,01 14,01 14,01 14,01 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-23 1 1 13,97 13,97 13,97 13,97 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-24 1 1 13,79 13,79 13,79 13,79 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-25 1 1 13,61 13,61 13,61 13,61 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-26 1 1 13,55 13,55 13,55 13,55 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-29 1 1 13,58 13,58 13,58 13,58 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-30 1 1 13,62 13,62 13,62 13,62 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-08-31 1 1 13,69 13,69 13,69 13,69 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-01 1 1 13,77 13,77 13,77 13,77 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-02 1 1 13,78 13,78 13,78 13,78 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-05 1 1 13,85 13,85 13,85 13,85 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-06 1 1 13,98 13,98 13,98 13,98 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-07 1 1 14,07 14,07 14,07 14,07 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-08 1 1 14,05 14,05 14,05 14,05 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-09 1 1 14,14 14,14 14,14 14,14 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-12 1 1 14,16 14,16 14,16 14,16 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-13 1 1 14,11 14,11 14,11 14,11 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-14 1 1 14,17 14,17 14,17 14,17 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-15 1 1 14,08 14,08 14,08 14,08 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-16 1 1 14,15 14,15 14,15 14,15 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-19 1 1 14,22 14,22 14,22 14,22 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-20 1 1 14,19 14,19 14,19 14,19 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-21 1 1 14,1 14,1 14,1 14,1 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-22 1 1 14,1 14,1 14,1 14,1 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-23 1 1 14,14 14,14 14,14 14,14 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-26 1 1 14,29 14,29 14,29 14,29 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-27 1 1 14,33 14,33 14,33 14,33 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-28 1 1 14,4 14,4 14,4 14,4 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-29 1 1 14,38 14,38 14,38 14,38 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-09-30 1 1 14,45 14,45 14,45 14,45 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-03 1 1 14,57 14,57 14,57 14,57 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-04 1 1 14,59 14,59 14,59 14,59 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-05 1 1 14,52 14,52 14,52 14,52 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-06 1 1 14,36 14,36 14,36 14,36 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-07 1 1 14,35 14,35 14,35 14,35 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-10 1 1 14,4 14,4 14,4 14,4 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-11 1 1 14,4 14,4 14,4 14,4 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-12 1 1 14,28 14,28 14,28 14,28 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-13 1 1 14,15 14,15 14,15 14,15 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-14 1 1 14,13 14,13 14,13 14,13 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-17 1 1 14,12 14,12 14,12 14,12 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-18 1 1 14,07 14,07 14,07 14,07 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-19 1 1 13,9 13,9 13,9 13,9 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-20 1 1 13,87 13,87 13,87 13,87 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-21 1 1 13,71 13,71 13,71 13,71 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-24 1 1 13,85 13,85 13,85 13,85 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-25 1 1 13,9 13,9 13,9 13,9 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-26 1 1 14 14 14 14 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-27 1 1 13,8 13,8 13,8 13,8 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-28 1 1 13,81 13,81 13,81 13,81 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-10-31 1 1 14,08 14,08 14,08 14,08 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-01 1 1 14,1 14,1 14,1 14,1 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-02 1 1 14,13 14,13 14,13 14,13 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-03 1 1 14,33 14,33 14,33 14,33 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-04 1 1 14,32 14,32 14,32 14,32 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-07 1 1 14,41 14,41 14,41 14,41 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-08 1 1 14,38 14,38 14,38 14,38 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-09 1 1 14,37 14,37 14,37 14,37 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-10 1 1 14,34 14,34 14,34 14,34 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-11 1 1 14,51 14,51 14,51 14,51 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-14 1 1 14,53 14,53 14,53 14,53 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-15 1 1 14,52 14,52 14,52 14,52 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-16 1 1 14,54 14,54 14,54 14,54 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-17 1 1 14,58 14,58 14,58 14,58 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-18 1 1 14,67 14,67 14,67 14,67 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-21 1 1 14,71 14,71 14,71 14,71 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-22 1 1 14,66 14,66 14,66 14,66 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-23 1 1 14,71 14,71 14,71 14,71 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-24 1 1 14,68 14,68 14,68 14,68 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-25 1 1 14,75 14,75 14,75 14,75 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-28 1 1 14,76 14,76 14,76 14,76 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-29 1 1 14,77 14,77 14,77 14,77 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-11-30 1 1 14,71 14,71 14,71 14,71 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-01 1 1 14,87 14,87 14,87 14,87 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-02 1 1 14,99 14,99 14,99 14,99 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-05 1 1 14,92 14,92 14,92 14,92 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-06 1 1 15,01 15,01 15,01 15,01 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-07 1 1 15,01 15,01 15,01 15,01 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-08 1 1 15,04 15,04 15,04 15,04 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-12 1 1 14,66 14,66 14,66 14,66 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-13 1 1 14,65 14,65 14,65 14,65 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-14 1 1 14,6 14,6 14,6 14,6 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-15 1 1 14,56 14,56 14,56 14,56 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-16 1 1 14,68 14,68 14,68 14,68 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-19 1 1 14,71 14,71 14,71 14,71 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-20 1 1 14,67 14,67 14,67 14,67 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-21 1 1 14,77 14,77 14,77 14,77 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-22 1 1 14,8 14,8 14,8 14,8 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-23 1 1 14,87 14,87 14,87 14,87 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-27 1 1 14,96 14,96 14,96 14,96 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-28 1 1 14,93 14,93 14,93 14,93 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-29 1 1 15,02 15,02 15,02 15,02 806869 Lannebo Fonder AB Lannebo Sverige SEK 2005-12-30 1 1 15 15 15 15 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-03 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-04 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-05 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-07 1 1 2,21 2,21 2,21 2,21 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-10 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-11 1 1 2,19 2,19 2,19 2,19 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-12 1 1 2,16 2,16 2,16 2,16 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-13 1 1 2,18 2,18 2,18 2,18 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-14 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-17 1 1 2,21 2,21 2,21 2,21 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-18 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-19 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-20 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-21 1 1 2,19 2,19 2,19 2,19 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-24 1 1 2,16 2,16 2,16 2,16 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-25 1 1 2,18 2,18 2,18 2,18 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-26 1 1 2,17 2,17 2,17 2,17 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-27 1 1 2,19 2,19 2,19 2,19 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-28 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-01-31 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-01 1 1 2,23 2,23 2,23 2,23 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-02 1 1 2,23 2,23 2,23 2,23 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-03 1 1 2,23 2,23 2,23 2,23 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-04 1 1 2,25 2,25 2,25 2,25 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-07 1 1 2,29 2,29 2,29 2,29 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-08 1 1 2,31 2,31 2,31 2,31 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-09 1 1 2,27 2,27 2,27 2,27 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-10 1 1 2,24 2,24 2,24 2,24 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-11 1 1 2,25 2,25 2,25 2,25 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-14 1 1 2,25 2,25 2,25 2,25 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-15 1 1 2,28 2,28 2,28 2,28 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-16 1 1 2,26 2,26 2,26 2,26 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-17 1 1 2,23 2,23 2,23 2,23 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-18 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-21 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-22 1 1 2,19 2,19 2,19 2,19 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-23 1 1 2,16 2,16 2,16 2,16 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-24 1 1 2,16 2,16 2,16 2,16 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-25 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-02-28 1 1 2,19 2,19 2,19 2,19 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-01 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-02 1 1 2,23 2,23 2,23 2,23 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-03 1 1 2,21 2,21 2,21 2,21 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-04 1 1 2,19 2,19 2,19 2,19 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-07 1 1 2,23 2,23 2,23 2,23 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-08 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-09 1 1 2,19 2,19 2,19 2,19 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-10 1 1 2,17 2,17 2,17 2,17 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-11 1 1 2,17 2,17 2,17 2,17 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-14 1 1 2,17 2,17 2,17 2,17 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-15 1 1 2,17 2,17 2,17 2,17 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-16 1 1 2,13 2,13 2,13 2,13 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-17 1 1 2,14 2,14 2,14 2,14 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-18 1 1 2,14 2,14 2,14 2,14 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-21 1 1 2,15 2,15 2,15 2,15 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-22 1 1 2,16 2,16 2,16 2,16 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-23 1 1 2,18 2,18 2,18 2,18 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-24 1 1 2,18 2,18 2,18 2,18 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-29 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-30 1 1 2,18 2,18 2,18 2,18 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-03-31 1 1 2,21 2,21 2,21 2,21 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-01 1 1 2,23 2,23 2,23 2,23 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-04 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-05 1 1 2,23 2,23 2,23 2,23 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-06 1 1 2,24 2,24 2,24 2,24 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-07 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-08 1 1 2,25 2,25 2,25 2,25 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-11 1 1 2,21 2,21 2,21 2,21 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-12 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-13 1 1 2,22 2,22 2,22 2,22 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-14 1 1 2,21 2,21 2,21 2,21 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-15 1 1 2,15 2,15 2,15 2,15 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-18 1 1 2,12 2,12 2,12 2,12 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-19 1 1 2,13 2,13 2,13 2,13 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-20 1 1 2,14 2,14 2,14 2,14 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-21 1 1 2,14 2,14 2,14 2,14 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-22 1 1 2,15 2,15 2,15 2,15 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-25 1 1 2,16 2,16 2,16 2,16 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-26 1 1 2,16 2,16 2,16 2,16 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-27 1 1 2,11 2,11 2,11 2,11 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-28 1 1 2,13 2,13 2,13 2,13 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-04-29 1 1 2,12 2,12 2,12 2,12 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-02 1 1 2,16 2,16 2,16 2,16 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-03 1 1 2,16 2,16 2,16 2,16 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-04 1 1 2,15 2,15 2,15 2,15 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-06 1 1 2,21 2,21 2,21 2,21 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-09 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-10 1 1 2,2 2,2 2,2 2,2 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-11 1 1 2,21 2,21 2,21 2,21 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-12 1 1 2,25 2,25 2,25 2,25 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-13 1 1 2,3 2,3 2,3 2,3 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-16 1 1 2,31 2,31 2,31 2,31 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-17 1 1 2,3 2,3 2,3 2,3 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-18 1 1 2,33 2,33 2,33 2,33 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-19 1 1 2,35 2,35 2,35 2,35 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-20 1 1 2,36 2,36 2,36 2,36 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-23 1 1 2,36 2,36 2,36 2,36 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-24 1 1 2,37 2,37 2,37 2,37 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-25 1 1 2,36 2,36 2,36 2,36 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-26 1 1 2,39 2,39 2,39 2,39 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-27 1 1 2,39 2,39 2,39 2,39 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-30 1 1 2,4 2,4 2,4 2,4 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-05-31 1 1 2,4 2,4 2,4 2,4 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-01 1 1 2,43 2,43 2,43 2,43 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-02 1 1 2,43 2,43 2,43 2,43 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-03 1 1 2,43 2,43 2,43 2,43 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-07 1 1 2,44 2,44 2,44 2,44 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-08 1 1 2,42 2,42 2,42 2,42 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-09 1 1 2,44 2,44 2,44 2,44 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-10 1 1 2,47 2,47 2,47 2,47 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-13 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-14 1 1 2,49 2,49 2,49 2,49 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-15 1 1 2,47 2,47 2,47 2,47 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-16 1 1 2,49 2,49 2,49 2,49 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-17 1 1 2,45 2,45 2,45 2,45 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-20 1 1 2,47 2,47 2,47 2,47 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-21 1 1 2,49 2,49 2,49 2,49 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-22 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-23 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-27 1 1 2,46 2,46 2,46 2,46 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-28 1 1 2,48 2,48 2,48 2,48 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-29 1 1 2,51 2,51 2,51 2,51 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-06-30 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-01 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-04 1 1 2,54 2,54 2,54 2,54 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-05 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-06 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-07 1 1 2,49 2,49 2,49 2,49 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-08 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-11 1 1 2,56 2,56 2,56 2,56 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-12 1 1 2,54 2,54 2,54 2,54 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-13 1 1 2,55 2,55 2,55 2,55 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-14 1 1 2,57 2,57 2,57 2,57 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-15 1 1 2,57 2,57 2,57 2,57 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-18 1 1 2,58 2,58 2,58 2,58 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-19 1 1 2,62 2,62 2,62 2,62 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-20 1 1 2,64 2,64 2,64 2,64 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-21 1 1 2,59 2,59 2,59 2,59 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-22 1 1 2,58 2,58 2,58 2,58 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-25 1 1 2,6 2,6 2,6 2,6 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-26 1 1 2,6 2,6 2,6 2,6 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-27 1 1 2,59 2,59 2,59 2,59 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-28 1 1 2,6 2,6 2,6 2,6 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-07-29 1 1 2,58 2,58 2,58 2,58 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-01 1 1 2,56 2,56 2,56 2,56 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-02 1 1 2,59 2,59 2,59 2,59 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-03 1 1 2,57 2,57 2,57 2,57 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-04 1 1 2,55 2,55 2,55 2,55 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-05 1 1 2,52 2,52 2,52 2,52 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-08 1 1 2,51 2,51 2,51 2,51 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-09 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-10 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-11 1 1 2,49 2,49 2,49 2,49 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-12 1 1 2,47 2,47 2,47 2,47 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-15 1 1 2,47 2,47 2,47 2,47 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-16 1 1 2,48 2,48 2,48 2,48 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-17 1 1 2,49 2,49 2,49 2,49 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-18 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-19 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-22 1 1 2,52 2,52 2,52 2,52 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-23 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-24 1 1 2,48 2,48 2,48 2,48 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-25 1 1 2,46 2,46 2,46 2,46 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-26 1 1 2,44 2,44 2,44 2,44 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-29 1 1 2,45 2,45 2,45 2,45 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-30 1 1 2,47 2,47 2,47 2,47 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-08-31 1 1 2,45 2,45 2,45 2,45 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-01 1 1 2,44 2,44 2,44 2,44 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-02 1 1 2,43 2,43 2,43 2,43 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-05 1 1 2,44 2,44 2,44 2,44 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-06 1 1 2,48 2,48 2,48 2,48 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-07 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-08 1 1 2,51 2,51 2,51 2,51 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-09 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-12 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-13 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-14 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-15 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-16 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-19 1 1 2,54 2,54 2,54 2,54 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-20 1 1 2,55 2,55 2,55 2,55 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-21 1 1 2,51 2,51 2,51 2,51 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-22 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-23 1 1 2,52 2,52 2,52 2,52 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-26 1 1 2,55 2,55 2,55 2,55 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-27 1 1 2,54 2,54 2,54 2,54 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-28 1 1 2,56 2,56 2,56 2,56 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-29 1 1 2,54 2,54 2,54 2,54 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-09-30 1 1 2,56 2,56 2,56 2,56 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-03 1 1 2,59 2,59 2,59 2,59 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-04 1 1 2,6 2,6 2,6 2,6 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-05 1 1 2,56 2,56 2,56 2,56 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-06 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-07 1 1 2,49 2,49 2,49 2,49 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-10 1 1 2,51 2,51 2,51 2,51 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-11 1 1 2,51 2,51 2,51 2,51 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-12 1 1 2,47 2,47 2,47 2,47 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-13 1 1 2,48 2,48 2,48 2,48 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-14 1 1 2,47 2,47 2,47 2,47 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-17 1 1 2,49 2,49 2,49 2,49 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-18 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-19 1 1 2,47 2,47 2,47 2,47 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-20 1 1 2,51 2,51 2,51 2,51 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-21 1 1 2,5 2,5 2,5 2,5 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-24 1 1 2,53 2,53 2,53 2,53 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-25 1 1 2,51 2,51 2,51 2,51 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-26 1 1 2,52 2,52 2,52 2,52 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-27 1 1 2,48 2,48 2,48 2,48 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-28 1 1 2,48 2,48 2,48 2,48 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-10-31 1 1 2,55 2,55 2,55 2,55 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-01 1 1 2,57 2,57 2,57 2,57 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-02 1 1 2,58 2,58 2,58 2,58 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-03 1 1 2,62 2,62 2,62 2,62 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-04 1 1 2,63 2,63 2,63 2,63 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-07 1 1 2,67 2,67 2,67 2,67 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-08 1 1 2,66 2,66 2,66 2,66 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-09 1 1 2,68 2,68 2,68 2,68 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-10 1 1 2,69 2,69 2,69 2,69 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-11 1 1 2,71 2,71 2,71 2,71 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-14 1 1 2,7 2,7 2,7 2,7 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-15 1 1 2,72 2,72 2,72 2,72 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-16 1 1 2,7 2,7 2,7 2,7 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-17 1 1 2,71 2,71 2,71 2,71 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-18 1 1 2,73 2,73 2,73 2,73 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-21 1 1 2,71 2,71 2,71 2,71 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-22 1 1 2,72 2,72 2,72 2,72 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-23 1 1 2,71 2,71 2,71 2,71 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-24 1 1 2,71 2,71 2,71 2,71 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-25 1 1 2,71 2,71 2,71 2,71 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-28 1 1 2,69 2,69 2,69 2,69 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-29 1 1 2,73 2,73 2,73 2,73 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-11-30 1 1 2,73 2,73 2,73 2,73 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-01 1 1 2,75 2,75 2,75 2,75 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-02 1 1 2,75 2,75 2,75 2,75 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-05 1 1 2,73 2,73 2,73 2,73 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-06 1 1 2,73 2,73 2,73 2,73 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-07 1 1 2,73 2,73 2,73 2,73 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-08 1 1 2,73 2,73 2,73 2,73 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-12 1 1 2,72 2,72 2,72 2,72 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-13 1 1 2,72 2,72 2,72 2,72 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-14 1 1 2,69 2,69 2,69 2,69 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-15 1 1 2,71 2,71 2,71 2,71 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-16 1 1 2,7 2,7 2,7 2,7 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-19 1 1 2,68 2,68 2,68 2,68 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-20 1 1 2,68 2,68 2,68 2,68 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-21 1 1 2,72 2,72 2,72 2,72 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-22 1 1 2,73 2,73 2,73 2,73 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-23 1 1 2,75 2,75 2,75 2,75 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-27 1 1 2,76 2,76 2,76 2,76 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-28 1 1 2,71 2,71 2,71 2,71 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-29 1 1 2,73 2,73 2,73 2,73 771030 Lannebo Fonder AB Lannebo Vision SEK 2005-12-30 1 1 2,71 2,71 2,71 2,71 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-03 9,0065 9,0015 118,53 118,53 1067,540445 1066,947795 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-04 9,0345 9,0295 119,21 119,21 1077,002745 1076,406695 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-05 9,0615 9,0565 119,23 119,23 1080,402645 1079,806495 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-07 9,0615 9,0565 119,23 119,23 1080,402645 1079,806495 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-10 9,08619 9,08119 119,75 119,75 1088,0712525 1087,4725025 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-11 9,08619 9,08119 119,76 119,76 1088,1621144 1087,5633144 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-12 9,0455 9,0405 119,1 119,1 1077,31905 1076,72355 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-13 9,0505 9,0455 118,38 118,38 1071,39819 1070,80629 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-14 9,0455 9,0405 118,82 118,82 1074,78631 1074,19221 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-17 9,0685 9,0635 119,19 119,19 1080,874515 1080,278565 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-18 9,0585 9,0535 119,32 119,32 1080,86022 1080,26362 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-19 9,0225 9,0175 119,47 119,47 1077,918075 1077,320725 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-20 9,0315 9,0265 119,22 119,22 1076,73543 1076,13933 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-21 9,0505 9,0455 118,76 118,76 1074,83738 1074,24358 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-24 9,0655 9,0605 118,55 118,55 1074,715025 1074,122275 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-25 9,0715 9,0665 118,26 118,26 1072,79559 1072,20429 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-26 9,0885 9,0835 118,93 118,93 1080,895305 1080,300655 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-27 9,0675 9,0625 118,98 118,98 1078,85115 1078,25625 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-28 9,0955 9,0905 119,27 119,27 1084,820285 1084,223935 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-01-31 9,1075 9,1025 118,63 118,63 1080,422725 1079,829575 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-01 9,1035 9,0985 118,76 118,76 1081,13166 1080,53786 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-02 9,0905 9,0855 118,37 118,37 1076,042485 1075,450635 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-03 9,0695 9,0645 118,65 118,65 1076,096175 1075,502925 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-04 9,0895 9,0845 118,68 118,68 1078,74186 1078,14846 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-07 9,0755 9,0705 119,84 119,84 1087,60792 1087,00872 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-08 9,0895 9,0845 119,9 119,9 1089,83105 1089,23155 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-09 9,0695 9,0645 119,83 119,83 1086,798185 1086,199035 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-10 9,0805 9,0755 119,52 119,52 1085,30136 1084,70376 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-11 9,0935 9,0885 119,28 119,28 1084,67268 1084,07628 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-14 9,1105 9,1055 119,99 119,99 1093,168895 1092,568945 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-15 9,0765 9,0715 120,2 120,2 1090,9953 1090,3943 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-16 9,0705 9,0655 120,58 120,58 1093,72089 1093,11799 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-17 9,0925 9,0875 120,33 120,33 1094,100525 1093,498875 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-18 9,0945 9,0895 120,5 120,5 1095,88725 1095,28475 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-21 9,1185 9,1135 121,34 121,34 1106,43879 1105,83209 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-22 9,0975 9,0925 121,64 121,64 1106,6199 1106,0117 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-23 9,1045 9,0995 120,65 120,65 1098,457925 1097,854675 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-24 9,0715 9,0665 120,12 120,12 1089,66858 1089,06798 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-25 9,0845 9,0795 120,4 120,4 1093,7738 1093,1718 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-02-28 9,0505 9,0455 120,79 120,79 1093,209895 1092,605945 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-01 9,0565 9,0515 120,84 120,84 1094,38746 1093,78326 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-02 9,0645 9,0595 121,56 121,56 1101,88062 1101,27282 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-03 9,0675 9,0625 121,34 121,34 1100,25045 1099,64375 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-04 9,0415 9,0365 121,25 121,25 1096,281875 1095,675625 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-07 9,0425 9,0375 121,27 121,27 1096,583975 1095,977625 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-08 9,0345 9,0295 121,2 121,2 1094,9814 1094,3754 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-09 9,0365 9,0315 120,57 120,57 1089,530805 1088,927955 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-10 9,0655 9,0605 120,13 120,13 1089,038515 1088,437865 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-11 9,0795 9,0745 120,1 120,1 1090,44795 1089,84745 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-14 9,0695 9,0645 120,1 120,1 1089,24695 1088,64645 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-15 9,1035 9,0985 119,93 119,93 1091,782755 1091,183105 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-16 9,0975 9,0925 120,56 120,56 1096,7946 1096,1918 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-17 9,1045 9,0995 119,8 119,8 1090,7191 1090,1201 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-18 9,1035 9,0985 119,92 119,92 1091,69172 1091,09212 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-21 9,1265 9,1215 120,05 120,05 1095,636325 1095,036075 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-22 9,1265 9,1215 119,7 119,7 1092,44205 1091,84355 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-23 9,1165 9,1115 119,95 119,95 1093,524175 1092,924425 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-24 9,1135 9,1085 119,95 119,95 1093,164325 1092,564575 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-29 9,1315 9,1265 120,04 120,04 1096,14526 1095,54506 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-30 9,1425 9,1375 120,26 120,26 1099,47705 1098,87575 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-03-31 9,1405 9,1355 120,58 120,58 1102,16149 1101,55859 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-01 9,1645 9,1595 120,41 120,41 1103,497445 1102,895395 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-04 9,1695 9,1645 120,57 120,57 1105,566615 1104,963765 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-05 9,1745 9,1695 120,55 120,55 1105,985975 1105,383225 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-06 9,1705 9,1655 121,64 121,64 1115,49962 1114,89142 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-07 9,1505 9,1455 121,87 121,87 1115,171435 1114,562085 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-08 9,1625 9,1575 122,21 122,21 1119,749125 1119,138075 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-11 9,1705 9,1655 121,78 121,78 1116,78349 1116,17459 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-12 9,1525 9,1475 121,66 121,66 1113,49315 1112,88485 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-13 9,1495 9,1445 122,04 122,04 1116,60498 1115,99478 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-14 9,1685 9,1635 122,11 122,11 1119,565535 1118,954985 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-15 9,1925 9,1875 122,1 122,1 1122,40425 1121,79375 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-18 9,1805 9,1755 120,83 120,83 1109,279815 1108,675665 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-19 9,2035 9,1985 119,48 119,48 1099,63418 1099,03678 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-20 9,1915 9,1865 120,09 120,09 1103,807235 1103,206785 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-21 9,1855 9,1805 119,07 119,07 1093,717485 1093,122135 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-22 9,1625 9,1575 119,21 119,21 1092,261625 1091,665575 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-25 9,1685 9,1635 119,49 119,49 1095,544065 1094,946615 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-26 9,1375 9,1325 119,7 119,7 1093,75875 1093,16025 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-27 9,1465 9,1415 119,51 119,51 1093,098215 1092,500665 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-28 9,1505 9,1455 119,11 119,11 1089,916055 1089,320505 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-04-29 9,1705 9,1655 118,87 118,87 1090,097335 1089,502985 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-02 9,1935 9,1885 119,01 119,01 1094,118435 1093,523385 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-03 9,2245 9,2195 119,4 119,4 1101,4053 1100,8083 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-04 9,1915 9,1865 120,01 120,01 1103,071915 1102,471865 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-06 9,1715 9,1665 120,99 120,99 1109,659785 1109,054835 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-09 9,1815 9,1765 121,1 121,1 1111,87965 1111,27415 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-10 9,1985 9,1935 121,05 121,05 1113,478425 1112,873175 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-11 9,2105 9,2055 120,4 120,4 1108,9442 1108,3422 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-12 9,2315 9,2265 120,78 120,78 1114,98057 1114,37667 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-13 9,2045 9,1995 120,93 120,93 1113,100185 1112,495535 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-17 9,2325 9,2275 120,27 120,27 1110,392775 1109,791425 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-18 9,2095 9,2045 120,09 120,09 1105,968855 1105,368405 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-19 9,1905 9,1855 120,51 120,51 1107,547155 1106,944605 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-20 9,1955 9,1905 120,51 120,51 1108,149705 1107,547155 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-23 9,1805 9,1755 121,18 121,18 1112,49299 1111,88709 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-24 9,1815 9,1765 121,19 121,19 1112,705985 1112,100035 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-25 9,1785 9,1735 121,35 121,35 1113,810975 1113,204225 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-26 9,1945 9,1895 121,21 121,21 1114,465345 1113,859295 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-27 9,1955 9,1905 121,77 121,77 1119,736035 1119,127185 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-30 9,1905 9,1855 122,08 122,08 1121,97624 1121,36584 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-05-31 9,1665 9,1615 122,54 122,54 1123,26291 1122,65021 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-01 9,1455 9,1405 122,66 122,66 1121,78703 1121,17373 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-02 9,1565 9,1515 123,51 123,51 1130,919315 1130,301765 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-03 9,1315 9,1265 123,47 123,47 1127,466305 1126,848955 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-07 9,1455 9,1405 123,34 123,34 1128,00597 1127,38927 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-08 9,1455 9,1405 123,81 123,81 1132,304355 1131,685305 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-09 9,1965 9,1915 123,46 123,46 1135,39989 1134,78259 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-10 9,1975 9,1925 123,68 123,68 1137,5468 1136,9284 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-13 9,2365 9,2315 123,65 123,65 1142,093225 1141,474975 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-14 9,2985 9,2935 123,66 123,66 1149,85251 1149,23421 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-15 9,2695 9,2645 124,14 124,14 1150,71573 1150,09503 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-16 9,2695 9,2645 123,79 123,79 1147,471405 1146,852455 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-17 9,2695 9,2645 123,97 123,97 1149,139915 1148,520065 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-20 9,2255 9,2205 123,71 123,71 1141,286605 1140,668055 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-21 9,2725 9,2675 123,7 123,7 1147,00825 1146,38975 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-22 9,2615 9,2565 124,63 124,63 1154,260745 1153,637595 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-27 9,3855 9,3805 123,58 123,58 1159,86009 1159,24219 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-28 9,3995 9,3945 123,2 123,2 1158,0184 1157,4024 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-29 9,4215 9,4165 124,01 124,01 1168,360215 1167,740165 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-06-30 9,4415 9,4365 124,03 124,03 1171,029245 1170,409095 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-01 9,4595 9,4545 123,71 123,71 1170,234745 1169,616195 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-04 9,4795 9,4745 124,41 124,41 1179,344595 1178,722545 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-05 9,4575 9,4525 124,35 124,35 1176,040125 1175,418375 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-06 9,4195 9,4145 124,22 124,22 1170,09029 1169,46919 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-07 9,3965 9,3915 124,19 124,19 1166,951335 1166,330385 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-08 9,4175 9,4125 123,22 123,22 1160,42435 1159,80825 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-11 9,4665 9,4615 123,88 123,88 1172,71002 1172,09062 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-12 9,4645 9,4595 123,94 123,94 1173,03013 1172,41043 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-13 9,3915 9,3865 123,77 123,77 1162,385955 1161,767105 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-14 9,3675 9,3625 124,35 124,35 1164,848625 1164,226875 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-15 9,4055 9,4005 124,46 124,46 1170,60853 1169,98623 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-18 9,3895 9,3845 124,57 124,57 1169,650015 1169,027165 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-19 9,4425 9,4375 124,55 124,55 1176,063375 1175,440625 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-20 9,4265 9,4215 124,44 124,44 1173,03366 1172,41146 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-21 9,4625 9,4575 124,29 124,29 1176,094125 1175,472675 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-22 9,4495 9,4445 124,41 124,41 1175,612295 1174,990245 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-25 9,4275 9,4225 125,04 125,04 1178,8146 1178,1894 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-26 9,4155 9,4105 124,55 124,55 1172,700525 1172,077775 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-27 9,4725 9,4675 124,89 124,89 1183,020525 1182,396075 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-28 9,4515 9,4465 125,26 125,26 1183,89489 1183,26859 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-07-29 9,3885 9,3835 125,4 125,4 1177,3179 1176,6909 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-01 9,3985 9,3935 124,91 124,91 1173,966635 1173,342085 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-02 9,3995 9,3945 124,95 124,95 1174,467525 1173,842775 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-03 9,3755 9,3705 125,41 125,41 1175,781455 1175,154405 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-04 9,3735 9,3685 124,9 124,9 1170,75015 1170,12565 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-05 9,3355 9,3305 124,71 124,71 1164,230205 1163,606655 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-08 9,3335 9,3285 124,4 124,4 1161,0874 1160,4654 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-09 9,3455 9,3405 124,65 124,65 1164,916575 1164,293325 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-10 9,3535 9,3485 125,21 125,21 1171,151735 1170,525685 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-11 9,3365 9,3315 125,71 125,71 1173,691415 1173,062865 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-12 9,3025 9,2975 125,66 125,66 1168,95215 1168,32385 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-16 9,2995 9,2945 125,66 125,66 1168,57517 1167,94687 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-17 9,3405 9,3355 125,6 125,6 1173,1668 1172,5388 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-18 9,3365 9,3315 125,76 125,76 1174,15824 1173,52944 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-19 9,3395 9,3345 125,65 125,65 1173,508175 1172,879925 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-22 9,3655 9,3605 126,04 126,04 1180,42762 1179,79742 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-23 9,3715 9,3665 126,09 126,09 1181,652435 1181,021985 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-24 9,3365 9,3315 125,85 125,85 1174,998525 1174,369275 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-25 9,3335 9,3285 125,41 125,41 1170,514235 1169,887185 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-26 9,3415 9,3365 124,81 124,81 1165,912615 1165,288565 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-29 9,3295 9,3245 124,06 124,06 1157,41777 1156,79747 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-30 9,3285 9,3235 124,51 124,51 1161,491535 1160,868985 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-08-31 9,3585 9,3535 124,34 124,34 1163,63589 1163,01419 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-01 9,3365 9,3315 124,96 124,96 1166,68904 1166,06424 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-02 9,3025 9,2975 125,71 125,71 1169,417275 1168,788725 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-05 9,2845 9,2795 126,02 126,02 1170,03269 1169,40259 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-06 9,3225 9,3175 126,34 126,34 1177,80465 1177,17295 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-07 9,3075 9,3025 126,77 126,77 1179,911775 1179,277925 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-08 9,3255 9,3205 127,01 127,01 1184,431755 1183,796705 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-09 9,3445 9,3395 127,01 127,01 1186,844945 1186,209895 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-12 9,3015 9,2965 128,48 128,48 1195,05672 1194,41432 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-13 9,3015 9,2965 128,49 128,49 1195,149735 1194,507285 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-14 9,3365 9,3315 127,83 127,83 1193,484795 1192,845645 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-15 9,3425 9,3375 128,41 128,41 1199,670425 1199,028375 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-16 9,3465 9,3415 127,96 127,96 1195,97814 1195,33834 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-19 9,3355 9,3305 128,69 128,69 1201,385495 1200,742045 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-20 9,3395 9,3345 128,9 128,9 1203,86155 1203,21705 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-21 9,3405 9,3355 128,55 128,55 1200,721275 1200,078525 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-22 9,3405 9,3355 127,76 127,76 1193,34228 1192,70348 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-23 9,3695 9,3645 127,4 127,4 1193,6743 1193,0373 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-26 9,3815 9,3765 128,23 128,23 1202,989745 1202,348595 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-27 9,3885 9,3835 128,57 128,57 1207,079445 1206,436595 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-28 9,3935 9,3885 128,7 128,7 1208,94345 1208,29995 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-29 9,3845 9,3795 128,5 128,5 1205,90825 1205,26575 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-09-30 9,3435 9,3385 128,69 128,69 1202,415015 1201,771565 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-03 9,3025 9,2975 129,21 129,21 1201,976025 1201,329975 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-04 9,3185 9,3135 129,93 129,93 1210,752705 1210,103055 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-05 9,3105 9,3055 130,37 130,37 1213,809885 1213,158035 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-06 9,3015 9,2965 129,19 129,19 1201,660785 1201,014835 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-07 9,3385 9,3335 127,78 127,78 1193,27353 1192,63463 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-10 9,3465 9,3415 127,6 127,6 1192,6134 1191,9754 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-11 9,3395 9,3345 128,42 128,42 1199,37859 1198,73649 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-12 9,3375 9,3325 128,29 128,29 1197,907875 1197,266425 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-13 9,3815 9,3765 127,15 127,15 1192,857725 1192,221975 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-14 9,4135 9,4085 126,58 126,58 1191,56083 1190,92793 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-17 9,4575 9,4525 126,96 126,96 1200,7242 1200,0894 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-18 9,4625 9,4575 126,76 126,76 1199,4665 1198,8327 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-19 9,4605 9,4555 126,75 126,75 1199,118375 1198,484625 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-20 9,4935 9,4885 125,33 125,33 1189,820355 1189,193705 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-21 9,4915 9,4865 125,29 125,29 1189,190035 1188,563585 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-24 9,5455 9,5405 124,87 124,87 1191,946585 1191,322235 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-25 9,5465 9,5415 125,81 125,81 1201,045165 1200,416115 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-26 9,4975 9,4925 125,37 125,37 1190,701575 1190,074725 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-27 9,5355 9,5305 125,4 125,4 1195,7517 1195,1247 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-28 9,5135 9,5085 124,63 124,63 1185,667505 1185,044355 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-10-31 9,5495 9,5445 125,51 125,51 1198,557745 1197,930195 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-02 9,5855 9,5805 127,44 127,44 1221,57612 1220,93892 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-03 9,6515 9,6465 127,59 127,59 1231,434885 1230,796935 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-04 9,5875 9,5825 128,82 128,82 1235,06175 1234,41765 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-07 9,6075 9,6025 128,86 128,86 1238,02245 1237,37815 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-08 9,5685 9,5635 129,68 129,68 1240,84308 1240,19468 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-09 9,5575 9,5525 129,62 129,62 1238,84315 1238,19505 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-10 9,6105 9,6055 130,11 130,11 1250,422155 1249,771605 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-11 9,6365 9,6315 130,31 130,31 1255,732315 1255,080765 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-14 9,5505 9,5455 131,44 131,44 1255,31772 1254,66052 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-15 9,5805 9,5755 130,96 130,96 1254,66228 1254,00748 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-16 9,6235 9,6185 130,49 130,49 1255,770515 1255,118065 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-17 9,6355 9,6305 129,84 129,84 1251,07332 1250,42412 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-18 9,6085 9,6035 130,46 130,46 1253,52491 1252,87261 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-21 9,5915 9,5865 130,88 130,88 1255,33552 1254,68112 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-22 9,5585 9,5535 130,82 130,82 1250,44297 1249,78887 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-23 9,5155 9,5105 130,69 130,69 1243,580695 1242,927245 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-24 9,5125 9,5075 131,06 131,06 1246,70825 1246,05295 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-25 9,4965 9,4915 130,77 130,77 1241,857305 1241,203455 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-28 9,4835 9,4785 131,39 131,39 1246,037065 1245,380115 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-29 9,4785 9,4735 130,55 130,55 1237,418175 1236,765425 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-11-30 9,5295 9,5245 130,91 130,91 1247,506845 1246,852295 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-01 9,5165 9,5115 131,04 131,04 1247,04216 1246,38696 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-02 9,4905 9,4855 132,53 132,53 1257,775965 1257,113315 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-05 9,4065 9,4015 133,05 133,05 1251,534825 1250,869575 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-06 9,4185 9,4135 132,51 132,51 1248,045435 1247,382885 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-07 9,4255 9,4205 132,95 132,95 1253,120225 1252,455475 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-08 9,3965 9,3915 132,44 132,44 1244,47246 1243,81026 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-12 9,4315 9,4265 132,18 132,18 1246,65567 1245,99477 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-13 9,4295 9,4245 131,86 131,86 1243,37387 1242,71457 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-14 9,4365 9,4315 131,47 131,47 1240,616655 1239,959305 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-15 9,4345 9,4295 131,57 131,57 1241,297165 1240,639315 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-16 9,4765 9,4715 131,84 131,84 1249,38176 1248,72256 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-19 9,4535 9,4485 132,79 132,79 1255,330265 1254,666315 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-20 9,4015 9,3965 133,32 133,32 1253,40798 1252,74138 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-21 9,4485 9,4435 133,8 133,8 1264,2093 1263,5403 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-22 9,4365 9,4315 133,95 133,95 1264,019175 1263,349425 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-23 9,4425 9,4375 133,72 133,72 1262,6511 1261,9825 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-27 9,4915 9,4865 134,24 134,24 1274,13896 1273,46776 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-28 9,4345 9,4295 134,53 134,53 1269,223285 1268,550635 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-29 9,4115 9,4065 134,55 134,55 1266,317325 1265,644575 568154 Linde Partners Asset Management S.A. Linde Partners Value Fund Blue Chip Value EUR 2005-12-30 9,4325 9,4275 134,82 134,82 1271,68965 1271,01555 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-03 9,0065 9,0015 109,69 109,69 987,922985 987,374535 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-04 9,0345 9,0295 110,45 110,45 997,860525 997,308275 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-05 9,0615 9,0565 110,39 110,39 1000,298985 999,747035 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-07 9,0615 9,0565 110,45 110,45 1000,842675 1000,290425 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-10 9,08619 9,08119 111,11 111,11 1009,5665709 1009,0110209 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-11 9,08619 9,08119 111,09 111,09 1009,3848471 1008,8293971 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-12 9,0455 9,0405 110,56 110,56 1000,07048 999,51768 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-13 9,0505 9,0455 109,97 109,97 995,283485 994,733635 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-14 9,0455 9,0405 110,3 110,3 997,71865 997,16715 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-17 9,0685 9,0635 110,59 110,59 1002,885415 1002,332465 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-18 9,0585 9,0535 110,85 110,85 1004,134725 1003,580475 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-19 9,0225 9,0175 111,02 111,02 1001,67795 1001,12285 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-20 9,0315 9,0265 110,8 110,8 1000,6902 1000,1362 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-21 9,0505 9,0455 110,51 110,51 1000,170755 999,618205 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-24 9,0655 9,0605 110,38 110,38 1000,64989 1000,09799 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-25 9,0715 9,0665 110,25 110,25 1000,132875 999,581625 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-26 9,0885 9,0835 110,84 110,84 1007,36934 1006,81514 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-27 9,0675 9,0625 110,86 110,86 1005,22305 1004,66875 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-28 9,0955 9,0905 111,29 111,29 1012,238195 1011,681745 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-01-31 9,1075 9,1025 111,03 111,03 1011,205725 1010,650575 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-01 9,1035 9,0985 111,04 111,04 1010,85264 1010,29744 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-02 9,0905 9,0855 111,22 111,22 1011,04541 1010,48931 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-03 9,0695 9,0645 111,48 111,48 1011,06786 1010,51046 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-04 9,0895 9,0845 111,3 111,3 1011,66135 1011,10485 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-07 9,0755 9,0705 112,31 112,31 1019,269405 1018,707855 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-08 9,0895 9,0845 112,14 112,14 1019,29653 1018,73583 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-09 9,0695 9,0645 112,22 112,22 1017,77929 1017,21819 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-10 9,0805 9,0755 112,21 112,21 1018,922905 1018,361855 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-11 9,0935 9,0885 111,98 111,98 1018,29013 1017,73023 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-14 9,1105 9,1055 112,45 112,45 1024,475725 1023,913475 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-15 9,0765 9,0715 112,71 112,71 1023,012315 1022,448765 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-16 9,0705 9,0655 112,72 112,72 1022,42676 1021,86316 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-17 9,0925 9,0875 112,4 112,4 1021,997 1021,435 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-18 9,0945 9,0895 112,52 112,52 1023,31314 1022,75054 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-21 9,1185 9,1135 113,37 113,37 1033,764345 1033,197495 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-22 9,0975 9,0925 113,29 113,29 1030,655775 1030,089325 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-23 9,1045 9,0995 112,47 112,47 1023,983115 1023,420765 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-24 9,0715 9,0665 112,05 112,05 1016,461575 1015,901325 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-25 9,0845 9,0795 112,46 112,46 1021,64287 1021,08057 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-02-28 9,0505 9,0455 112,74 112,74 1020,35337 1019,78967 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-01 9,0565 9,0515 112,74 112,74 1021,02981 1020,46611 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-02 9,0645 9,0595 113,43 113,43 1028,186235 1027,619085 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-03 9,0675 9,0625 113,17 113,17 1026,168975 1025,603125 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-04 9,0415 9,0365 113,21 113,21 1023,588215 1023,022165 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-07 9,0425 9,0375 113,17 113,17 1023,339725 1022,773875 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-08 9,0345 9,0295 113,08 113,08 1021,62126 1021,05586 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-09 9,0365 9,0315 112,52 112,52 1016,78698 1016,22438 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-10 9,0655 9,0605 112,21 112,21 1017,239755 1016,678705 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-11 9,0795 9,0745 112,47 112,47 1021,171365 1020,609015 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-14 9,0695 9,0645 112,43 112,43 1019,683885 1019,121735 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-15 9,1035 9,0985 112,33 112,33 1022,596155 1022,034505 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-16 9,0975 9,0925 112,89 112,89 1027,016775 1026,452325 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-17 9,1045 9,0995 112,14 112,14 1020,97863 1020,41793 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-18 9,1035 9,0985 112,25 112,25 1021,867875 1021,306625 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-21 9,1265 9,1215 112,45 112,45 1026,274925 1025,712675 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-22 9,1265 9,1215 112,42 112,42 1026,00113 1025,43903 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-23 9,1165 9,1115 112,46 112,46 1025,24159 1024,67929 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-24 9,1135 9,1085 112,42 112,42 1024,53967 1023,97757 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-29 9,1315 9,1265 112,42 112,42 1026,56323 1026,00113 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-30 9,1425 9,1375 112,62 112,62 1029,62835 1029,06525 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-03-31 9,1405 9,1355 113,01 113,01 1032,967905 1032,402855 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-01 9,1645 9,1595 113,05 113,05 1036,046725 1035,481475 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-04 9,1695 9,1645 113,47 113,47 1040,463165 1039,895815 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-05 9,1745 9,1695 113,41 113,41 1040,480045 1039,912995 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-06 9,1705 9,1655 114,38 114,38 1048,92179 1048,34989 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-07 9,1505 9,1455 114,38 114,38 1046,63419 1046,06229 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-08 9,1625 9,1575 114,73 114,73 1051,213625 1050,639975 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-11 9,1705 9,1655 114,29 114,29 1048,096445 1047,524995 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-12 9,1525 9,1475 114,25 114,25 1045,673125 1045,101875 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-13 9,1495 9,1445 114,65 114,65 1048,990175 1048,416925 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-14 9,1685 9,1635 114,85 114,85 1053,002225 1052,427975 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-15 9,1925 9,1875 114,76 114,76 1054,9313 1054,3575 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-18 9,1805 9,1755 113,51 113,51 1042,078555 1041,511005 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-19 9,2035 9,1985 112,2 112,2 1032,6327 1032,0717 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-20 9,1915 9,1865 112,94 112,94 1038,08801 1037,52331 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-21 9,1855 9,1805 112,26 112,26 1031,16423 1030,60293 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-22 9,1625 9,1575 112,56 112,56 1031,331 1030,7682 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-25 9,1685 9,1635 112,77 112,77 1033,931745 1033,367895 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-26 9,1375 9,1325 113,02 113,02 1032,72025 1032,15515 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-27 9,1465 9,1415 112,88 112,88 1032,45692 1031,89252 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-28 9,1505 9,1455 112,45 112,45 1028,973725 1028,411475 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-04-29 9,1705 9,1655 112,26 112,26 1029,48033 1028,91903 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-02 9,1935 9,1885 112,47 112,47 1033,992945 1033,430595 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-03 9,2245 9,2195 112,67 112,67 1039,324415 1038,761065 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-04 9,1915 9,1865 113 113 1038,6395 1038,0745 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-06 9,1715 9,1665 113,92 113,92 1044,81728 1044,24768 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-09 9,1815 9,1765 114,02 114,02 1046,87463 1046,30453 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-10 9,1985 9,1935 113,82 113,82 1046,97327 1046,40417 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-11 9,2105 9,2055 113,29 113,29 1043,457545 1042,891095 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-12 9,2315 9,2265 113,48 113,48 1047,59062 1047,02322 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-13 9,2045 9,1995 113,58 113,58 1045,44711 1044,87921 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-17 9,2325 9,2275 113,22 113,22 1045,30365 1044,73755 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-18 9,2095 9,2045 112,99 112,99 1040,581405 1040,016455 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-19 9,1905 9,1855 113,74 113,74 1045,32747 1044,75877 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-20 9,1955 9,1905 113,72 113,72 1045,71226 1045,14366 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-23 9,1805 9,1755 114,32 114,32 1049,51476 1048,94316 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-24 9,1815 9,1765 114,47 114,47 1051,006305 1050,433955 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-25 9,1785 9,1735 114,65 114,65 1052,315025 1051,741775 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-26 9,1945 9,1895 114,47 114,47 1052,494415 1051,922065 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-27 9,1955 9,1905 114,93 114,93 1056,838815 1056,264165 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-30 9,1905 9,1855 115,17 115,17 1058,469885 1057,894035 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-05-31 9,1665 9,1615 115,68 115,68 1060,38072 1059,80232 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-01 9,1455 9,1405 115,9 115,9 1059,96345 1059,38395 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-02 9,1565 9,1515 116,55 116,55 1067,190075 1066,607325 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-03 9,1315 9,1265 116,7 116,7 1065,64605 1065,06255 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-07 9,1455 9,1405 116,46 116,46 1065,08493 1064,50263 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-08 9,1455 9,1405 117,02 117,02 1070,20641 1069,62131 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-09 9,1965 9,1915 116,89 116,89 1074,978885 1074,394435 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-10 9,1975 9,1925 117,22 117,22 1078,13095 1077,54485 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-13 9,2365 9,2315 117,24 117,24 1082,88726 1082,30106 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-14 9,2985 9,2935 117,3 117,3 1090,71405 1090,12755 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-15 9,2695 9,2645 117,81 117,81 1092,039795 1091,450745 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-16 9,2695 9,2645 117,93 117,93 1093,152135 1092,562485 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-17 9,2695 9,2645 117,9 117,9 1092,87405 1092,28455 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-20 9,2255 9,2205 117,84 117,84 1087,13292 1086,54372 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-21 9,2725 9,2675 117,8 117,8 1092,3005 1091,7115 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-22 9,2615 9,2565 118,6 118,6 1098,4139 1097,8209 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-27 9,3855 9,3805 117,47 117,47 1102,514685 1101,927335 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-28 9,3995 9,3945 117,49 117,49 1104,347255 1103,759805 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-29 9,4215 9,4165 118,38 118,38 1115,31717 1114,72527 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-06-30 9,4415 9,4365 118,56 118,56 1119,38424 1118,79144 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-01 9,4595 9,4545 118,33 118,33 1119,342635 1118,750985 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-04 9,4795 9,4745 119,17 119,17 1129,672015 1129,076165 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-05 9,4575 9,4525 119,2 119,2 1127,334 1126,738 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-06 9,4195 9,4145 119,09 119,09 1121,768255 1121,172805 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-07 9,3965 9,3915 119,04 119,04 1118,55936 1117,96416 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-08 9,4175 9,4125 118,33 118,33 1114,372775 1113,781125 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-11 9,4665 9,4615 118,87 118,87 1125,282855 1124,688505 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-12 9,4645 9,4595 118,94 118,94 1125,70763 1125,11293 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-13 9,3915 9,3865 118,68 118,68 1114,58322 1113,98982 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-14 9,3675 9,3625 119,25 119,25 1117,074375 1116,478125 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-15 9,4055 9,4005 119,25 119,25 1121,605875 1121,009625 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-18 9,3895 9,3845 119,36 119,36 1120,73072 1120,13392 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-19 9,4425 9,4375 119,29 119,29 1126,395825 1125,799375 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-20 9,4265 9,4215 119,3 119,3 1124,58145 1123,98495 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-21 9,4625 9,4575 119,05 119,05 1126,510625 1125,915375 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-22 9,4495 9,4445 119,26 119,26 1126,94737 1126,35107 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-25 9,4275 9,4225 119,68 119,68 1128,2832 1127,6848 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-26 9,4155 9,4105 119,28 119,28 1123,08084 1122,48444 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-27 9,4725 9,4675 119,61 119,61 1133,005725 1132,407675 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-28 9,4515 9,4465 119,88 119,88 1133,04582 1132,44642 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-07-29 9,3885 9,3835 119,95 119,95 1126,150575 1125,550825 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-01 9,3985 9,3935 119,52 119,52 1123,30872 1122,71112 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-02 9,3995 9,3945 119,52 119,52 1123,42824 1122,83064 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-03 9,3755 9,3705 120,13 120,13 1126,278815 1125,678165 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-04 9,3735 9,3685 119,57 119,57 1120,789395 1120,191545 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-05 9,3355 9,3305 119,4 119,4 1114,6587 1114,0617 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-08 9,3335 9,3285 119,04 119,04 1111,05984 1110,46464 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-09 9,3455 9,3405 119,33 119,33 1115,198515 1114,601865 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-10 9,3535 9,3485 120,1 120,1 1123,35535 1122,75485 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-11 9,3365 9,3315 120,67 120,67 1126,635455 1126,032105 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-12 9,3025 9,2975 120,53 120,53 1121,230325 1120,627675 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-16 9,2995 9,2945 120,77 120,77 1123,100615 1122,496765 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-17 9,3405 9,3355 120,79 120,79 1128,238995 1127,635045 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-18 9,3365 9,3315 121 121 1129,7165 1129,1115 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-19 9,3395 9,3345 121,39 121,39 1133,721905 1133,114955 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-22 9,3655 9,3605 121,46 121,46 1137,53363 1136,92633 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-23 9,3715 9,3665 121,35 121,35 1137,231525 1136,624775 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-24 9,3365 9,3315 121,26 121,26 1132,14399 1131,53769 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-25 9,3335 9,3285 120,69 120,69 1126,460115 1125,856665 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-26 9,3415 9,3365 120,35 120,35 1124,249525 1123,647775 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-29 9,3295 9,3245 119,68 119,68 1116,55456 1115,95616 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-30 9,3285 9,3235 120,09 120,09 1120,259565 1119,659115 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-08-31 9,3585 9,3535 119,97 119,97 1122,739245 1122,139395 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-01 9,3365 9,3315 120,43 120,43 1124,394695 1123,792545 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-02 9,3025 9,2975 120,75 120,75 1123,276875 1122,673125 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-05 9,2845 9,2795 120,96 120,96 1123,05312 1122,44832 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-06 9,3225 9,3175 121,46 121,46 1132,31085 1131,70355 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-07 9,3075 9,3025 121,91 121,91 1134,677325 1134,067775 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-08 9,3255 9,3205 122,23 122,23 1139,855865 1139,244715 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-09 9,3445 9,3395 122,23 122,23 1142,178235 1141,567085 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-12 9,3015 9,2965 123,39 123,39 1147,712085 1147,095135 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-13 9,3015 9,2965 123,48 123,48 1148,54922 1147,93182 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-14 9,3365 9,3315 123,02 123,02 1148,57623 1147,96113 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-15 9,3425 9,3375 123,55 123,55 1154,265875 1153,648125 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-16 9,3465 9,3415 123,04 123,04 1149,99336 1149,37816 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-19 9,3355 9,3305 123,68 123,68 1154,61464 1153,99624 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-20 9,3395 9,3345 123,92 123,92 1157,35084 1156,73124 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-21 9,3405 9,3355 123,42 123,42 1152,80451 1152,18741 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-22 9,3405 9,3355 122,79 122,79 1146,919995 1146,306045 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-23 9,3695 9,3645 122,5 122,5 1147,76375 1147,15125 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-26 9,3815 9,3765 123,12 123,12 1155,05028 1154,43468 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-27 9,3885 9,3835 123,46 123,46 1159,10421 1158,48691 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-28 9,3935 9,3885 123,63 123,63 1161,318405 1160,700255 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-29 9,3845 9,3795 123,54 123,54 1159,36113 1158,74343 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-09-30 9,3435 9,3385 123,52 123,52 1154,10912 1153,49152 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-03 9,3025 9,2975 123,86 123,86 1152,20765 1151,58835 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-04 9,3185 9,3135 124,71 124,71 1162,110135 1161,486585 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-05 9,3105 9,3055 125,09 125,09 1164,650445 1164,024995 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-06 9,3015 9,2965 123,96 123,96 1153,01394 1152,39414 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-07 9,3385 9,3335 122,66 122,66 1145,46041 1144,84711 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-10 9,3465 9,3415 122,41 122,41 1144,105065 1143,493015 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-11 9,3395 9,3345 123,06 123,06 1149,31887 1148,70357 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-12 9,3375 9,3325 123,05 123,05 1148,979375 1148,364125 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-13 9,3815 9,3765 121,85 121,85 1143,135775 1142,526525 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-14 9,4135 9,4085 121,13 121,13 1140,257255 1139,651605 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-17 9,4575 9,4525 121,27 121,27 1146,911025 1146,304675 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-18 9,4625 9,4575 121,21 121,21 1146,949625 1146,343575 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-19 9,4605 9,4555 121,27 121,27 1147,274835 1146,668485 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-20 9,4935 9,4885 119,91 119,91 1138,365585 1137,766035 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-21 9,4915 9,4865 119,85 119,85 1137,556275 1136,957025 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-24 9,5455 9,5405 119,24 119,24 1138,20542 1137,60922 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-25 9,5465 9,5415 120,29 120,29 1148,348485 1147,747035 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-26 9,4975 9,4925 119,46 119,46 1134,57135 1133,97405 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-27 9,5355 9,5305 119,55 119,55 1139,969025 1139,371275 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-28 9,5135 9,5085 118,41 118,41 1126,493535 1125,901485 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-10-31 9,5495 9,5445 118,87 118,87 1135,149065 1134,554715 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-02 9,5855 9,5805 120,67 120,67 1156,682285 1156,078935 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-03 9,6515 9,6465 120,48 120,48 1162,81272 1162,21032 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-04 9,5875 9,5825 121,48 121,48 1164,6895 1164,0821 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-07 9,6075 9,6025 122,15 122,15 1173,556125 1172,945375 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-08 9,5685 9,5635 122,63 122,63 1173,385155 1172,772005 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-09 9,5575 9,5525 122,46 122,46 1170,41145 1169,79915 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-10 9,6105 9,6055 122,86 122,86 1180,74603 1180,13173 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-11 9,6365 9,6315 123,21 123,21 1187,313165 1186,697115 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-14 9,5505 9,5455 123,95 123,95 1183,784475 1183,164725 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-15 9,5805 9,5755 123,48 123,48 1183,00014 1182,38274 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-16 9,6235 9,6185 122,95 122,95 1183,209325 1182,594575 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-17 9,6355 9,6305 122,51 122,51 1180,445105 1179,832555 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-18 9,6085 9,6035 123,12 123,12 1182,99852 1182,38292 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-21 9,5915 9,5865 123,31 123,31 1182,727865 1182,111315 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-22 9,5585 9,5535 123,35 123,35 1179,040975 1178,424225 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-23 9,5155 9,5105 123,36 123,36 1173,83208 1173,21528 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-24 9,5125 9,5075 123,74 123,74 1177,07675 1176,45805 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-25 9,4965 9,4915 123,69 123,69 1174,622085 1174,003635 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-28 9,4835 9,4785 124,3 124,3 1178,79905 1178,17755 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-29 9,4785 9,4735 123,44 123,44 1170,02604 1169,40884 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-11-30 9,5295 9,5245 123,89 123,89 1180,609755 1179,990305 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-01 9,5165 9,5115 124,15 124,15 1181,473475 1180,852725 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-02 9,4905 9,4855 125,4 125,4 1190,1087 1189,4817 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-05 9,4065 9,4015 125,4 125,4 1179,5751 1178,9481 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-06 9,4185 9,4135 125,62 125,62 1183,15197 1182,52387 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-07 9,4255 9,4205 126,07 126,07 1188,272785 1187,642435 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-08 9,3965 9,3915 125,84 125,84 1182,45556 1181,82636 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-12 9,4315 9,4265 125,48 125,48 1183,46462 1182,83722 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-13 9,4295 9,4245 125,15 125,15 1180,101925 1179,476175 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-14 9,4365 9,4315 124,79 124,79 1177,580835 1176,956885 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-15 9,4345 9,4295 125,05 125,05 1179,784225 1179,158975 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-16 9,4765 9,4715 125,23 125,23 1186,742095 1186,115945 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-19 9,4535 9,4485 125,74 125,74 1188,68309 1188,05439 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-20 9,4015 9,3965 126,18 126,18 1186,28127 1185,65037 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-21 9,4485 9,4435 126,73 126,73 1197,408405 1196,774755 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-22 9,4365 9,4315 126,93 126,93 1197,774945 1197,140295 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-23 9,4425 9,4375 126,71 126,71 1196,459175 1195,825625 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-27 9,4915 9,4865 127,25 127,25 1207,793375 1207,157125 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-28 9,4345 9,4295 127,41 127,41 1202,049645 1201,412595 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-29 9,4115 9,4065 127,4 127,4 1199,0251 1198,3881 532325 Linde Partners Asset Management S.A. Linde Partners Value Fund Global EUR 2005-12-30 9,4325 9,4275 127,78 127,78 1205,28485 1204,64595 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-03 9,0065 9,0015 119,2 119,2 1073,5748 1072,9788 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-04 9,0345 9,0295 120,46 120,46 1088,29587 1087,69357 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-05 9,0615 9,0565 119,17 119,17 1079,858955 1079,263105 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-07 9,0615 9,0565 119,99 119,99 1087,289385 1086,689435 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-10 9,08619 9,08119 120,85 120,85 1098,0660615 1097,4618115 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-11 9,08619 9,08119 121,72 121,72 1105,9710468 1105,3624468 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-12 9,0455 9,0405 121,71 121,71 1100,927805 1100,319255 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-13 9,0505 9,0455 120,81 120,81 1093,390905 1092,786855 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-14 9,0455 9,0405 121,47 121,47 1098,756885 1098,149535 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-17 9,0685 9,0635 122,15 122,15 1107,717275 1107,106525 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-18 9,0585 9,0535 121,7 121,7 1102,41945 1101,81095 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-19 9,0225 9,0175 121,83 121,83 1099,211175 1098,602025 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-20 9,0315 9,0265 120,88 120,88 1091,72772 1091,12332 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-21 9,0505 9,0455 120,47 120,47 1090,313735 1089,711385 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-24 9,0655 9,0605 120,93 120,93 1096,290915 1095,686265 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-25 9,0715 9,0665 121,02 121,02 1097,83293 1097,22783 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-26 9,0885 9,0835 121,35 121,35 1102,889475 1102,282725 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-27 9,0675 9,0625 120,65 120,65 1093,993875 1093,390625 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-28 9,0955 9,0905 121,83 121,83 1108,104765 1107,495615 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-01-31 9,1075 9,1025 122,45 122,45 1115,213375 1114,601125 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-01 9,1035 9,0985 121,66 121,66 1107,53181 1106,92351 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-02 9,0905 9,0855 122,04 122,04 1109,40462 1108,79442 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-03 9,0695 9,0645 121,88 121,88 1105,39066 1104,78126 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-04 9,0895 9,0845 121,56 121,56 1104,91962 1104,31182 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-07 9,0755 9,0705 123,72 123,72 1122,82086 1122,20226 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-08 9,0895 9,0845 122,85 122,85 1116,645075 1116,030825 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-09 9,0695 9,0645 121,96 121,96 1106,11622 1105,50642 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-10 9,0805 9,0755 122,03 122,03 1108,093415 1107,483265 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-11 9,0935 9,0885 121,62 121,62 1105,95147 1105,34337 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-14 9,1105 9,1055 122,09 122,09 1112,300945 1111,690495 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-15 9,0765 9,0715 121,89 121,89 1106,334585 1105,725135 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-16 9,0705 9,0655 120,98 120,98 1097,34909 1096,74419 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-17 9,0925 9,0875 120,95 120,95 1099,737875 1099,133125 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-18 9,0945 9,0895 121,26 121,26 1102,79907 1102,19277 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-21 9,1185 9,1135 121,17 121,17 1104,888645 1104,282795 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-22 9,0975 9,0925 120,8 120,8 1098,978 1098,374 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-23 9,1045 9,0995 120,12 120,12 1093,63254 1093,03194 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-24 9,0715 9,0665 120,59 120,59 1093,932185 1093,329235 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-25 9,0845 9,0795 121,32 121,32 1102,13154 1101,52494 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-02-28 9,0505 9,0455 121,86 121,86 1102,89393 1102,28463 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-01 9,0565 9,0515 122,45 122,45 1108,968425 1108,356175 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-02 9,0645 9,0595 123,32 123,32 1117,83414 1117,21754 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-03 9,0675 9,0625 123,03 123,03 1115,574525 1114,959375 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-04 9,0415 9,0365 122,99 122,99 1112,014085 1111,399135 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-07 9,0425 9,0375 122,75 122,75 1109,966875 1109,353125 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-08 9,0345 9,0295 122,06 122,06 1102,75107 1102,14077 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-09 9,0365 9,0315 121,72 121,72 1099,92278 1099,31418 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-10 9,0655 9,0605 121,25 121,25 1099,191875 1098,585625 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-11 9,0795 9,0745 121,47 121,47 1102,886865 1102,279515 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-14 9,0695 9,0645 120,44 120,44 1092,33058 1091,72838 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-15 9,1035 9,0985 120,56 120,56 1097,51796 1096,91516 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-16 9,0975 9,0925 121,84 121,84 1108,4394 1107,8302 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-17 9,1045 9,0995 120,98 120,98 1101,46241 1100,85751 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-18 9,1035 9,0985 121,77 121,77 1108,533195 1107,924345 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-21 9,1265 9,1215 122,48 122,48 1117,81372 1117,20132 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-22 9,1265 9,1215 123,02 123,02 1122,74203 1122,12693 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-23 9,1165 9,1115 122,38 122,38 1115,67727 1115,06537 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-24 9,1135 9,1085 122,03 122,03 1112,120405 1111,510255 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-29 9,1315 9,1265 121,08 121,08 1105,64202 1105,03662 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-30 9,1425 9,1375 120,86 120,86 1104,96255 1104,35825 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-03-31 9,1405 9,1355 121,76 121,76 1112,94728 1112,33848 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-01 9,1645 9,1595 121,53 121,53 1113,761685 1113,154035 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-04 9,1695 9,1645 121,38 121,38 1112,99391 1112,38701 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-05 9,1745 9,1695 121,67 121,67 1116,261415 1115,653065 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-06 9,1705 9,1655 122,7 122,7 1125,22035 1124,60685 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-07 9,1505 9,1455 121,58 121,58 1112,51779 1111,90989 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-08 9,1625 9,1575 122,32 122,32 1120,757 1120,1454 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-11 9,1705 9,1655 120,57 120,57 1105,687185 1105,084335 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-12 9,1525 9,1475 120,44 120,44 1102,3271 1101,7249 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-13 9,1495 9,1445 121,61 121,61 1112,670695 1112,062645 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-14 9,1685 9,1635 121,39 121,39 1112,964215 1112,357265 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-15 9,1925 9,1875 120,43 120,43 1107,052775 1106,450625 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-18 9,1805 9,1755 116,55 116,55 1069,987275 1069,404525 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-19 9,2035 9,1985 117,01 117,01 1076,901535 1076,316485 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-20 9,1915 9,1865 117,42 117,42 1079,26593 1078,67883 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-21 9,1855 9,1805 116,2 116,2 1067,3551 1066,7741 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-22 9,1625 9,1575 117,86 117,86 1079,89225 1079,30295 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-25 9,1685 9,1635 119,45 119,45 1095,177325 1094,580075 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-26 9,1375 9,1325 119,42 119,42 1091,20025 1090,60315 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-27 9,1465 9,1415 119,81 119,81 1095,842165 1095,243115 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-28 9,1505 9,1455 120,22 120,22 1100,07311 1099,47201 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-04-29 9,1705 9,1655 120,45 120,45 1104,586725 1103,984475 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-02 9,1935 9,1885 121,07 121,07 1113,057045 1112,451695 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-03 9,2245 9,2195 121,05 121,05 1116,625725 1116,020475 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-04 9,1915 9,1865 120,85 120,85 1110,792775 1110,188525 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-06 9,1715 9,1665 122,1 122,1 1119,84015 1119,22965 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-09 9,1815 9,1765 122,77 122,77 1127,212755 1126,598905 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-10 9,1985 9,1935 121,92 121,92 1121,48112 1120,87152 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-11 9,2105 9,2055 121,62 121,62 1120,18101 1119,57291 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-12 9,2315 9,2265 121,66 121,66 1123,10429 1122,49599 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-13 9,2045 9,1995 121,63 121,63 1119,543335 1118,935185 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-17 9,2325 9,2275 119,71 119,71 1105,222575 1104,624025 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-18 9,2095 9,2045 119,15 119,15 1097,311925 1096,716175 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-19 9,1905 9,1855 120,53 120,53 1107,730965 1107,128315 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-20 9,1955 9,1905 119,9 119,9 1102,54045 1101,94095 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-23 9,1805 9,1755 120,69 120,69 1107,994545 1107,391095 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-24 9,1815 9,1765 120,86 120,86 1109,67609 1109,07179 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-25 9,1785 9,1735 120,28 120,28 1103,98998 1103,38858 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-26 9,1945 9,1895 120,28 120,28 1105,91446 1105,31306 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-27 9,1955 9,1905 120,57 120,57 1108,701435 1108,098585 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-30 9,1905 9,1855 120,94 120,94 1111,49907 1110,89437 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-05-31 9,1665 9,1615 122,03 122,03 1118,587995 1117,977845 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-01 9,1455 9,1405 123,03 123,03 1125,170865 1124,555715 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-02 9,1565 9,1515 123,02 123,02 1126,43263 1125,81753 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-03 9,1315 9,1265 123,24 123,24 1125,36606 1124,74986 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-07 9,1455 9,1405 123,75 123,75 1131,755625 1131,136875 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-08 9,1455 9,1405 124,12 124,12 1135,13946 1134,51886 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-09 9,1965 9,1915 123,97 123,97 1140,090105 1139,470255 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-10 9,1975 9,1925 124,69 124,69 1146,836275 1146,212825 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-13 9,2365 9,2315 124,42 124,42 1149,20533 1148,58323 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-14 9,2985 9,2935 123,32 123,32 1146,69102 1146,07442 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-15 9,2695 9,2645 124,75 124,75 1156,370125 1155,746375 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-16 9,2695 9,2645 124,31 124,31 1152,291545 1151,669995 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-17 9,2695 9,2645 124,8 124,8 1156,8336 1156,2096 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-20 9,2255 9,2205 123,9 123,9 1143,03945 1142,41995 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-21 9,2725 9,2675 124,01 124,01 1149,882725 1149,262675 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-22 9,2615 9,2565 124,82 124,82 1156,02043 1155,39633 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-27 9,3855 9,3805 123,02 123,02 1154,60421 1153,98911 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-28 9,3995 9,3945 123,86 123,86 1164,22207 1163,60277 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-29 9,4215 9,4165 124,92 124,92 1176,93378 1176,30918 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-06-30 9,4415 9,4365 124,57 124,57 1176,127655 1175,504805 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-01 9,4595 9,4545 124,43 124,43 1177,045585 1176,423435 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-04 9,4795 9,4745 125,51 125,51 1189,772045 1189,144495 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-05 9,4575 9,4525 125,48 125,48 1186,7271 1186,0997 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-06 9,4195 9,4145 125,53 125,53 1182,429835 1181,802185 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-07 9,3965 9,3915 124,24 124,24 1167,42116 1166,79996 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-08 9,4175 9,4125 124,3 124,3 1170,59525 1169,97375 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-11 9,4665 9,4615 124,46 124,46 1178,20059 1177,57829 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-12 9,4645 9,4595 123,88 123,88 1172,46226 1171,84286 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-13 9,3915 9,3865 123,26 123,26 1157,59629 1156,97999 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-14 9,3675 9,3625 124,34 124,34 1164,75495 1164,13325 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-15 9,4055 9,4005 123,77 123,77 1164,118735 1163,499885 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-18 9,3895 9,3845 124,08 124,08 1165,04916 1164,42876 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-19 9,4425 9,4375 124,1 124,1 1171,81425 1171,19375 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-20 9,4265 9,4215 123 123 1159,4595 1158,8445 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-21 9,4625 9,4575 122,36 122,36 1157,8315 1157,2197 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-22 9,4495 9,4445 123,03 123,03 1162,571985 1161,956835 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-25 9,4275 9,4225 124,28 124,28 1171,6497 1171,0283 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-26 9,4155 9,4105 123,96 123,96 1167,14538 1166,52558 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-27 9,4725 9,4675 124,2 124,2 1176,4845 1175,8635 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-28 9,4515 9,4465 123,86 123,86 1170,66279 1170,04349 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-07-29 9,3885 9,3835 123,8 123,8 1162,2963 1161,6773 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-01 9,3985 9,3935 123,08 123,08 1156,76738 1156,15198 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-02 9,3995 9,3945 122,96 122,96 1155,76252 1155,14772 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-03 9,3755 9,3705 123,32 123,32 1156,18666 1155,57006 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-04 9,3735 9,3685 121,99 121,99 1143,473265 1142,863315 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-05 9,3355 9,3305 120,59 120,59 1125,767945 1125,164995 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-08 9,3335 9,3285 120,02 120,02 1120,20667 1119,60657 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-09 9,3455 9,3405 120,93 120,93 1130,151315 1129,546665 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-10 9,3535 9,3485 123,07 123,07 1151,135245 1150,519895 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-11 9,3365 9,3315 123,87 123,87 1156,512255 1155,892905 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-12 9,3025 9,2975 124,09 124,09 1154,347225 1153,726775 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-16 9,2995 9,2945 125,39 125,39 1166,064305 1165,437355 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-17 9,3405 9,3355 124,83 124,83 1165,974615 1165,350465 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-18 9,3365 9,3315 125,32 125,32 1170,05018 1169,42358 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-19 9,3395 9,3345 125,71 125,71 1174,068545 1173,439995 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-22 9,3655 9,3605 127,19 127,19 1191,197945 1190,561995 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-23 9,3715 9,3665 127,82 127,82 1197,86513 1197,22603 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-24 9,3365 9,3315 127,81 127,81 1193,298065 1192,659015 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-25 9,3335 9,3285 127,04 127,04 1185,72784 1185,09264 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-26 9,3415 9,3365 127,13 127,13 1187,584895 1186,949245 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-29 9,3295 9,3245 126,01 126,01 1175,610295 1174,980245 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-30 9,3285 9,3235 127,31 127,31 1187,611335 1186,974785 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-08-31 9,3585 9,3535 127,28 127,28 1191,14988 1190,51348 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-01 9,3365 9,3315 127,43 127,43 1189,750195 1189,113045 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-02 9,3025 9,2975 127,31 127,31 1184,301275 1183,664725 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-05 9,2845 9,2795 127,49 127,49 1183,680905 1183,043455 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-06 9,3225 9,3175 127,16 127,16 1185,4491 1184,8133 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-07 9,3075 9,3025 126,87 126,87 1180,842525 1180,208175 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-08 9,3255 9,3205 126,77 126,77 1182,193635 1181,559785 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-09 9,3445 9,3395 126,77 126,77 1184,602265 1183,968415 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-12 9,3015 9,2965 130,41 130,41 1213,008615 1212,356565 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-13 9,3015 9,2965 130,17 130,17 1210,776255 1210,125405 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-14 9,3365 9,3315 130,42 130,42 1217,66633 1217,01423 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-15 9,3425 9,3375 131,92 131,92 1232,4626 1231,803 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-16 9,3465 9,3415 130,68 130,68 1221,40062 1220,74722 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-19 9,3355 9,3305 131,22 131,22 1225,00431 1224,34821 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-20 9,3395 9,3345 132,4 132,4 1236,5498 1235,8878 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-21 9,3405 9,3355 132,13 132,13 1234,160265 1233,499615 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-22 9,3405 9,3355 132,71 132,71 1239,577755 1238,914205 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-23 9,3695 9,3645 133,1 133,1 1247,08045 1246,41495 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-26 9,3815 9,3765 135,08 135,08 1267,25302 1266,57762 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-27 9,3885 9,3835 133,99 133,99 1257,965115 1257,295165 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-28 9,3935 9,3885 134,5 134,5 1263,42575 1262,75325 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-29 9,3845 9,3795 134,92 134,92 1266,15674 1265,48214 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-09-30 9,3435 9,3385 134,97 134,97 1261,092195 1260,417345 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-03 9,3025 9,2975 133,78 133,78 1244,48845 1243,81955 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-04 9,3185 9,3135 135,74 135,74 1264,89319 1264,21449 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-05 9,3105 9,3055 135,92 135,92 1265,48316 1264,80356 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-06 9,3015 9,2965 132,83 132,83 1235,518245 1234,854095 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-07 9,3385 9,3335 131,6 131,6 1228,9466 1228,2886 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-10 9,3465 9,3415 131,62 131,62 1230,18633 1229,52823 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-11 9,3395 9,3345 133,26 133,26 1244,58177 1243,91547 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-12 9,3375 9,3325 133,17 133,17 1243,474875 1242,809025 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-13 9,3815 9,3765 132,41 132,41 1242,204415 1241,542365 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-14 9,4135 9,4085 132,01 132,01 1242,676135 1242,016085 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-17 9,4575 9,4525 131,55 131,55 1244,134125 1243,476375 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-18 9,4625 9,4575 131,29 131,29 1242,331625 1241,675175 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-19 9,4605 9,4555 131,17 131,17 1240,933785 1240,277935 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-20 9,4935 9,4885 131,17 131,17 1245,262395 1244,606545 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-21 9,4915 9,4865 131,02 131,02 1243,57633 1242,92123 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-24 9,5455 9,5405 130,82 130,82 1248,74231 1248,08821 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-25 9,5465 9,5415 131,67 131,67 1256,987655 1256,329305 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-26 9,4975 9,4925 131,17 131,17 1245,787075 1245,131225 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-27 9,5355 9,5305 130,89 130,89 1248,101595 1247,447145 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-28 9,5135 9,5085 130,64 130,64 1242,84364 1242,19044 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-10-31 9,5495 9,5445 132,39 132,39 1264,258305 1263,596355 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-02 9,5855 9,5805 133,62 133,62 1280,81451 1280,14641 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-03 9,6515 9,6465 132,43 132,43 1278,148145 1277,485995 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-04 9,5875 9,5825 133,19 133,19 1276,959125 1276,293175 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-07 9,6075 9,6025 133,33 133,33 1280,967975 1280,301325 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-08 9,5685 9,5635 134,02 134,02 1282,37037 1281,70027 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-09 9,5575 9,5525 134,83 134,83 1288,637725 1287,963575 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-10 9,6105 9,6055 135,8 135,8 1305,1059 1304,4269 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-11 9,6365 9,6315 135,66 135,66 1307,28759 1306,60929 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-14 9,5505 9,5455 135,47 135,47 1293,806235 1293,128885 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-15 9,5805 9,5755 134,17 134,17 1285,415685 1284,744835 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-16 9,6235 9,6185 134,41 134,41 1293,494635 1292,822585 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-17 9,6355 9,6305 134,51 134,51 1296,071105 1295,398555 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-18 9,6085 9,6035 135,6 135,6 1302,9126 1302,2346 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-21 9,5915 9,5865 135,67 135,67 1301,278805 1300,600455 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-22 9,5585 9,5535 136,02 136,02 1300,14717 1299,46707 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-23 9,5155 9,5105 135,88 135,88 1292,96614 1292,28674 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-24 9,5125 9,5075 135,72 135,72 1291,0365 1290,3579 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-25 9,4965 9,4915 134,67 134,67 1278,893655 1278,220305 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-28 9,4835 9,4785 134,89 134,89 1279,229315 1278,554865 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-29 9,4785 9,4735 134,94 134,94 1279,02879 1278,35409 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-11-30 9,5295 9,5245 134,52 134,52 1281,90834 1281,23574 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-01 9,5165 9,5115 136,21 136,21 1296,242465 1295,561415 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-02 9,4905 9,4855 137,24 137,24 1302,47622 1301,79002 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-05 9,4065 9,4015 137,45 137,45 1292,923425 1292,236175 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-06 9,4185 9,4135 136,89 136,89 1289,298465 1288,614015 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-07 9,4255 9,4205 137,84 137,84 1299,21092 1298,52172 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-08 9,3965 9,3915 136,57 136,57 1283,280005 1282,597155 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-12 9,4315 9,4265 137,54 137,54 1297,20851 1296,52081 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-13 9,4295 9,4245 136,66 136,66 1288,63547 1287,95217 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-14 9,4365 9,4315 134,89 134,89 1272,889485 1272,215035 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-15 9,4345 9,4295 137,36 137,36 1295,92292 1295,23612 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-16 9,4765 9,4715 138,81 138,81 1315,432965 1314,738915 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-19 9,4535 9,4485 140,81 140,81 1331,147335 1330,443285 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-20 9,4015 9,3965 141,94 141,94 1334,44891 1333,73921 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-21 9,4485 9,4435 143,89 143,89 1359,544665 1358,825215 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-22 9,4365 9,4315 144,06 144,06 1359,42219 1358,70189 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-23 9,4425 9,4375 144,4 144,4 1363,497 1362,775 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-27 9,4915 9,4865 145,42 145,42 1380,25393 1379,52683 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-28 9,4345 9,4295 145,28 145,28 1370,64416 1369,91776 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-29 9,4115 9,4065 144,73 144,73 1362,126395 1361,402745 603985 Linde Partners Asset Management S.A. Linde Partners Value Fund Japan EUR 2005-12-30 9,4325 9,4275 144,06 144,06 1358,84595 1358,12565 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-03 6,668 6,658 32,15 32,15 214,3762 214,0547 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-04 6,728 6,718 31,79 31,79 213,88312 213,56522 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-05 6,828 6,818 31,64 31,64 216,03792 215,72152 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-07 6,87 6,86 31,71 31,71 217,8477 217,5306 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-10 6,96091 6,95091 31,83 31,83 221,5657653 221,2474653 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-11 6,96091 6,95091 31,68 31,68 220,5216288 220,2048288 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-12 6,913 6,903 31,79 31,79 219,76427 219,44637 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-13 6,843 6,833 31,54 31,54 215,82822 215,51282 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-14 6,915 6,905 31,74 31,74 219,4821 219,1647 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-17 6,915 6,905 31,73 31,73 219,41295 219,09565 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-18 6,968 6,958 32,08 32,08 223,53344 223,21264 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-19 6,91 6,9 31,81 31,81 219,8071 219,489 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-20 6,96 6,95 31,57 31,57 219,7272 219,4115 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-21 6,978 6,968 31,38 31,38 218,96964 218,65584 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-24 6,933 6,923 31,25 31,25 216,65625 216,34375 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-25 6,95 6,94 31,38 31,38 218,091 217,7772 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-26 6,995 6,985 31,54 31,54 220,6223 220,3069 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-27 6,93 6,92 31,51 31,51 218,3643 218,0492 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-28 6,985 6,975 31,39 31,39 219,25915 218,94525 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-01-31 6,998 6,988 31,62 31,62 221,27676 220,96056 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-01 6,993 6,983 31,83 31,83 222,58719 222,26889 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-02 6,953 6,943 31,92 31,92 221,93976 221,62056 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-03 6,968 6,958 31,8 31,8 221,5824 221,2644 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-04 7,01 7 32,18 32,18 225,5818 225,26 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-07 7,065 7,055 32,18 32,18 227,3517 227,0299 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-08 7,123 7,113 32,13 32,13 228,86199 228,54069 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-09 7,1 7,09 32,15 32,15 228,265 227,9435 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-10 7,088 7,078 31,9 31,9 226,1072 225,7882 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-11 7,068 7,058 32,05 32,05 226,5294 226,2089 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-14 7,03 7,02 32,25 32,25 226,7175 226,395 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-15 7,005 6,995 32,22 32,22 225,7011 225,3789 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-16 6,973 6,963 32,27 32,27 225,01871 224,69601 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-17 6,97 6,96 32,26 32,26 224,8522 224,5296 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-18 6,965 6,955 32,04 32,04 223,1586 222,8382 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-21 6,978 6,968 32,08 32,08 223,85424 223,53344 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-22 6,905 6,895 32,08 32,08 221,5124 221,1916 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-23 6,895 6,885 31,59 31,59 217,81305 217,49715 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-24 6,858 6,848 31,76 31,76 217,81008 217,49248 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-25 6,885 6,875 32,02 32,02 220,4577 220,1375 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-02-28 6,828 6,818 32,32 32,32 220,68096 220,35776 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-01 6,87 6,86 32,13 32,13 220,7331 220,4118 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-02 6,888 6,878 32,32 32,32 222,62016 222,29696 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-03 6,903 6,893 32,29 32,29 222,89787 222,57497 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-04 6,9 6,89 32,31 32,31 222,939 222,6159 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-07 6,84 6,83 32,59 32,59 222,9156 222,5897 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-08 6,825 6,815 32,71 32,71 223,24575 222,91865 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-09 6,76 6,75 32,56 32,56 220,1056 219,78 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-10 6,745 6,735 32,26 32,26 217,5937 217,2711 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-11 6,765 6,755 32,31 32,31 218,57715 218,25405 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-14 6,76 6,75 32,05 32,05 216,658 216,3375 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-15 6,815 6,805 32,21 32,21 219,51115 219,18905 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-16 6,81 6,8 31,95 31,95 217,5795 217,26 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-17 6,795 6,785 31,68 31,68 215,2656 214,9488 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-18 6,828 6,818 31,72 31,72 216,58416 216,26696 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-21 6,908 6,898 31,69 31,69 218,91452 218,59762 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-22 6,928 6,918 31,52 31,52 218,37056 218,05536 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-23 6,973 6,963 31,25 31,25 217,90625 217,59375 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-24 7,008 6,998 31,24 31,24 218,92992 218,61752 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-29 7,055 7,045 31,29 31,29 220,75095 220,43805 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-30 7,053 7,043 31,05 31,05 218,99565 218,68515 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-03-31 7,065 7,055 31,47 31,47 222,33555 222,02085 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-01 7,07 7,06 31,5 31,5 222,705 222,39 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-04 7,113 7,103 31,32 31,32 222,77916 222,46596 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-05 7,163 7,153 31,41 31,41 224,98983 224,67573 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-06 7,125 7,115 31,53 31,53 224,65125 224,33595 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-07 7,083 7,073 31,6 31,6 223,8228 223,5068 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-08 7,153 7,143 31,77 31,77 227,25081 226,93311 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-11 7,098 7,088 31,52 31,52 223,72896 223,41376 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-12 7,048 7,038 31,51 31,51 222,08248 221,76738 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-13 7,075 7,065 31,72 31,72 224,419 224,1018 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-14 7,12 7,11 31,42 31,42 223,7104 223,3962 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-15 7,17 7,16 31,15 31,15 223,3455 223,034 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-18 7,08 7,07 30,66 30,66 217,0728 216,7662 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-19 7,068 7,058 30,71 30,71 217,05828 216,75118 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-20 7,043 7,033 30,85 30,85 217,27655 216,96805 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-21 7,025 7,015 30,44 30,44 213,841 213,5366 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-22 7,023 7,013 31,01 31,01 217,78323 217,47313 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-25 7,04 7,03 30,78 30,78 216,6912 216,3834 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-26 7,035 7,025 31,04 31,04 218,3664 218,056 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-27 7,085 7,075 30,8 30,8 218,218 217,91 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-28 7,085 7,075 30,96 30,96 219,3516 219,042 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-04-29 7,08 7,07 30,61 30,61 216,7188 216,4127 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-02 7,15 7,14 30,97 30,97 221,4355 221,1258 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-03 7,178 7,168 31,08 31,08 223,09224 222,78144 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-04 7,11 7,1 31,07 31,07 220,9077 220,597 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-06 7,085 7,075 31,36 31,36 222,1856 221,872 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-09 7,168 7,158 31,35 31,35 224,7168 224,4033 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-10 7,178 7,168 31,56 31,56 226,53768 226,22208 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-11 7,15 7,14 31,24 31,24 223,366 223,0536 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-12 7,243 7,233 31,39 31,39 227,35777 227,04387 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-13 7,265 7,255 31,12 31,12 226,0868 225,7756 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-17 7,313 7,303 31,31 31,31 228,97003 228,65693 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-18 7,3 7,29 31,49 31,49 229,877 229,5621 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-19 7,26 7,25 31,79 31,79 230,7954 230,4775 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-20 7,28 7,27 31,91 31,91 232,3048 231,9857 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-23 7,32 7,31 31,89 31,89 233,4348 233,1159 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-24 7,295 7,285 31,98 31,98 233,2941 232,9743 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-25 7,298 7,288 31,99 31,99 233,46302 233,14312 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-26 7,33 7,32 31,86 31,86 233,5338 233,2152 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-27 7,338 7,328 32,07 32,07 235,32966 235,00896 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-30 7,338 7,328 32,13 32,13 235,76994 235,44864 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-05-31 7,403 7,393 32,12 32,12 237,78436 237,46316 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-01 7,428 7,418 31,93 31,93 237,17604 236,85674 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-02 7,473 7,463 32,22 32,22 240,78006 240,45786 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-03 7,438 7,428 32,28 32,28 240,09864 239,77584 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-07 7,448 7,438 32,08 32,08 238,93184 238,61104 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-08 7,435 7,425 32,06 32,06 238,3661 238,0455 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-09 7,523 7,513 32,01 32,01 240,81123 240,49113 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-10 7,525 7,515 32,2 32,2 242,305 241,983 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-13 7,643 7,633 32,14 32,14 245,64602 245,32462 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-14 7,663 7,653 32,22 32,22 246,90186 246,57966 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-15 7,693 7,683 32,32 32,32 248,63776 248,31456 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-16 7,678 7,668 32,37 32,37 248,53686 248,21316 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-17 7,643 7,633 32,48 32,48 248,24464 247,91984 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-20 7,543 7,533 32,64 32,64 246,20352 245,87712 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-21 7,648 7,638 32,66 32,66 249,78368 249,45708 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-22 7,608 7,598 32,61 32,61 248,09688 247,77078 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-27 7,73 7,72 32,13 32,13 248,3649 248,0436 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-28 7,76 7,75 32,1 32,1 249,096 248,775 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-29 7,833 7,823 32,39 32,39 253,71087 253,38697 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-06-30 7,823 7,813 32,35 32,35 253,07405 252,75055 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-01 7,858 7,848 32,15 32,15 252,6347 252,3132 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-04 7,945 7,935 32,21 32,21 255,90845 255,58635 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-05 7,963 7,953 32,21 32,21 256,48823 256,16613 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-06 7,895 7,885 32,5 32,5 256,5875 256,2625 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-07 7,878 7,868 32,27 32,27 254,22306 253,90036 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-08 7,913 7,903 32,38 32,38 256,22294 255,89914 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-11 7,89 7,88 32,77 32,77 258,5553 258,2276 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-12 7,77 7,76 32,95 32,95 256,0215 255,692 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-13 7,703 7,693 33,06 33,06 254,66118 254,33058 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-14 7,76 7,75 33,07 33,07 256,6232 256,2925 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-15 7,76 7,75 33,17 33,17 257,3992 257,0675 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-18 7,78 7,77 33,24 33,24 258,6072 258,2748 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-19 7,878 7,868 33,05 33,05 260,3679 260,0374 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-20 7,818 7,808 33,3 33,3 260,3394 260,0064 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-21 7,775 7,765 33,54 33,54 260,7735 260,4381 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-22 7,758 7,748 33,33 33,33 258,57414 258,24084 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-25 7,838 7,828 33,47 33,47 262,33786 262,00316 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-26 7,818 7,808 33,34 33,34 260,65212 260,31872 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-27 7,905 7,895 33,41 33,41 264,10605 263,77195 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-28 7,848 7,838 33,56 33,56 263,37888 263,04328 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-07-29 7,748 7,738 33,69 33,69 261,03012 260,69322 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-01 7,72 7,71 33,47 33,47 258,3884 258,0537 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-02 7,7 7,69 33,54 33,54 258,258 257,9226 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-03 7,685 7,675 33,82 33,82 259,9067 259,5685 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-04 7,618 7,608 33,86 33,86 257,94548 257,60688 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-05 7,548 7,538 33,61 33,61 253,68828 253,35218 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-08 7,558 7,548 33,36 33,36 252,13488 251,80128 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-09 7,548 7,538 33,22 33,22 250,74456 250,41236 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-10 7,558 7,548 33,43 33,43 252,66394 252,32964 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-11 7,523 7,513 33,37 33,37 251,04251 250,70881 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-12 7,46 7,45 33,62 33,62 250,8052 250,469 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-16 7,523 7,513 33,56 33,56 252,47188 252,13628 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-17 7,605 7,595 33,09 33,09 251,64945 251,31855 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-18 7,61 7,6 33,16 33,16 252,3476 252,016 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-19 7,698 7,688 33,14 33,14 255,11172 254,78032 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-22 7,69 7,68 33,15 33,15 254,9235 254,592 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-23 7,663 7,653 33,21 33,21 254,48823 254,15613 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-24 7,673 7,663 33,08 33,08 253,82284 253,49204 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-25 7,588 7,578 32,89 32,89 249,56932 249,24042 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-26 7,578 7,568 32,97 32,97 249,84666 249,51696 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-29 7,573 7,563 32,76 32,76 248,09148 247,76388 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-30 7,633 7,623 32,93 32,93 251,35469 251,02539 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-08-31 7,668 7,658 32,84 32,84 251,81712 251,48872 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-01 7,568 7,558 33,16 33,16 250,95488 250,62328 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-02 7,435 7,425 33,23 33,23 247,06505 246,73275 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-05 7,41 7,4 33,17 33,17 245,7897 245,458 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-06 7,485 7,475 33,17 33,17 248,27745 247,94575 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-07 7,43 7,42 33,63 33,63 249,8709 249,5346 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-08 7,498 7,488 33,7 33,7 252,6826 252,3456 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-09 7,523 7,513 33,58 33,58 252,62234 252,28654 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-12 7,555 7,545 33,82 33,82 255,5101 255,1719 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-13 7,57 7,56 33,8 33,8 255,866 255,528 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-14 7,61 7,6 33,55 33,55 255,3155 254,98 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-15 7,658 7,648 33,45 33,45 256,1601 255,8256 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-16 7,613 7,603 33,48 33,48 254,88324 254,54844 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-19 7,698 7,688 33,73 33,73 259,65354 259,31624 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-20 7,688 7,678 33,57 33,57 258,08616 257,75046 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-21 7,663 7,653 33,29 33,29 255,10127 254,76837 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-22 7,648 7,638 32,95 32,95 252,0016 251,6721 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-23 7,733 7,723 33,03 33,03 255,42099 255,09069 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-26 7,798 7,788 33,03 33,03 257,56794 257,23764 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-27 7,825 7,815 33,05 33,05 258,61625 258,28575 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-28 7,81 7,8 33,04 33,04 258,0424 257,712 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-29 7,785 7,775 33,08 33,08 257,5278 257,197 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-09-30 7,785 7,775 33,34 33,34 259,5519 259,2185 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-03 7,783 7,773 33,41 33,41 260,03003 259,69593 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-04 7,82 7,81 33,37 33,37 260,9534 260,6197 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-05 7,795 7,785 33,03 33,03 257,46885 257,13855 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-06 7,713 7,703 32,51 32,51 250,74963 250,42453 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-07 7,683 7,673 32,31 32,31 248,23773 247,91463 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-10 7,698 7,688 32,4 32,4 249,4152 249,0912 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-11 7,77 7,76 32,15 32,15 249,8055 249,484 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-12 7,805 7,795 32,08 32,08 250,3844 250,0636 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-13 7,83 7,82 31,82 31,82 249,1506 248,8324 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-14 7,833 7,823 31,81 31,81 249,16773 248,84963 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-17 7,835 7,825 32,08 32,08 251,3468 251,026 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-18 7,893 7,883 32,18 32,18 253,99674 253,67494 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-19 7,96 7,95 31,89 31,89 253,8444 253,5255 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-20 7,93 7,92 32,39 32,39 256,8527 256,5288 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-21 7,883 7,873 31,9 31,9 251,4677 251,1487 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-24 7,995 7,985 31,95 31,95 255,44025 255,12075 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-25 7,99 7,98 32,51 32,51 259,7549 259,4298 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-26 7,868 7,858 32,36 32,36 254,60848 254,28488 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-27 7,868 7,858 32,18 32,18 253,19224 252,87044 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-28 7,825 7,815 31,8 31,8 248,835 248,517 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-10-31 7,905 7,895 32,36 32,36 255,8058 255,4822 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-02 7,98 7,97 32,51 32,51 259,4298 259,1047 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-03 8,01 8 32,87 32,87 263,2887 262,96 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-04 8,028 8,018 33,04 33,04 265,24512 264,91472 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-07 8,135 8,125 33,08 33,08 269,1058 268,775 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-08 8,17 8,16 33,16 33,16 270,9172 270,5856 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-09 8,12 8,11 33,01 33,01 268,0412 267,7111 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-10 8,173 8,163 33,05 33,05 270,11765 269,78715 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-11 8,235 8,225 33,32 33,32 274,3902 274,057 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-14 8,133 8,123 33,41 33,41 271,72353 271,38943 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-15 8,185 8,175 33,39 33,39 273,29715 272,96325 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-16 8,21 8,2 33,27 33,27 273,1467 272,814 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-17 8,258 8,248 33,32 33,32 275,15656 274,82336 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-18 8,223 8,213 33,66 33,66 276,78618 276,44958 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-21 8,123 8,113 33,78 33,78 274,39494 274,05714 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-22 8,15 8,14 33,96 33,96 276,774 276,4344 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-23 8,048 8,038 34,14 34,14 274,75872 274,41732 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-24 8,053 8,043 34,26 34,26 275,89578 275,55318 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-25 8,078 8,068 34,25 34,25 276,6715 276,329 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-28 8,118 8,108 34,3 34,3 278,4474 278,1044 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-29 8,015 8,005 33,99 33,99 272,42985 272,08995 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-11-30 8,088 8,078 33,95 33,95 274,5876 274,2481 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-01 8,083 8,073 33,78 33,78 273,04374 272,70594 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-02 8,103 8,093 34,18 34,18 276,96054 276,61874 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-05 8,045 8,035 34,21 34,21 275,21945 274,87735 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-06 7,993 7,983 34,11 34,11 272,64123 272,30013 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-07 8,015 8,005 34,14 34,14 273,6321 273,2907 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-08 7,988 7,978 33,97 33,97 271,35236 271,01266 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-12 7,953 7,943 34,05 34,05 270,79965 270,45915 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-13 7,905 7,895 34,09 34,09 269,48145 269,14055 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-14 7,848 7,838 34,26 34,26 268,87248 268,52988 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-15 7,858 7,848 34,38 34,38 270,15804 269,81424 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-16 7,903 7,893 34,44 34,44 272,17932 271,83492 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-19 7,865 7,855 34,34 34,34 270,0841 269,7407 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-20 7,848 7,838 34,13 34,13 267,85224 267,51094 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-21 7,948 7,938 34,15 34,15 271,4242 271,0827 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-22 7,98 7,97 34,26 34,26 273,3948 273,0522 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-23 7,955 7,945 34,38 34,38 273,4929 273,1491 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-27 8,01 8 34,41 34,41 275,6241 275,28 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-28 7,915 7,905 34,1 34,1 269,9015 269,5605 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-29 7,938 7,928 34,11 34,11 270,76518 270,42408 610717 Handelsbanken Fonder AB Lux Amerika (Svenska Selection Fund America Shares) USD 2005-12-30 7,958 7,948 34,03 34,03 270,81074 270,47044 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-03 6,668 6,658 8,57 8,57 57,14476 57,05906 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-04 6,728 6,718 8,55 8,55 57,5244 57,4389 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-05 6,828 6,818 8,41 8,41 57,42348 57,33938 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-07 6,87 6,86 8,3 8,3 57,021 56,938 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-10 6,96091 6,95091 8,33 8,33 57,9843803 57,9010803 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-11 6,96091 6,95091 8,37 8,37 58,2628167 58,1791167 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-12 6,913 6,903 8,35 8,35 57,72355 57,64005 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-13 6,843 6,833 8,36 8,36 57,20748 57,12388 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-14 6,915 6,905 8,43 8,43 58,29345 58,20915 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-17 6,915 6,905 8,47 8,47 58,57005 58,48535 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-18 6,968 6,958 8,49 8,49 59,15832 59,07342 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-19 6,91 6,9 8,44 8,44 58,3204 58,236 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-20 6,96 6,95 8,39 8,39 58,3944 58,3105 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-21 6,978 6,968 8,34 8,34 58,19652 58,11312 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-24 6,933 6,923 8,33 8,33 57,75189 57,66859 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-25 6,95 6,94 8,4 8,4 58,38 58,296 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-26 6,995 6,985 8,4 8,4 58,758 58,674 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-27 6,93 6,92 8,42 8,42 58,3506 58,2664 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-28 6,985 6,975 8,42 8,42 58,8137 58,7295 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-01-31 6,998 6,988 8,44 8,44 59,06312 58,97872 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-01 6,993 6,983 8,43 8,43 58,95099 58,86669 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-02 6,953 6,943 8,44 8,44 58,68332 58,59892 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-03 6,968 6,958 8,45 8,45 58,8796 58,7951 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-04 7,01 7 8,41 8,41 58,9541 58,87 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-07 7,065 7,055 8,48 8,48 59,9112 59,8264 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-08 7,123 7,113 8,5 8,5 60,5455 60,4605 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-09 7,1 7,09 8,42 8,42 59,782 59,6978 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-10 7,088 7,078 8,45 8,45 59,8936 59,8091 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-11 7,068 7,058 8,42 8,42 59,51256 59,42836 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-14 7,03 7,02 8,51 8,51 59,8253 59,7402 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-15 7,005 6,995 8,59 8,59 60,17295 60,08705 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-16 6,973 6,963 8,6 8,6 59,9678 59,8818 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-17 6,97 6,96 8,56 8,56 59,6632 59,5776 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-18 6,965 6,955 8,58 8,58 59,7597 59,6739 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-21 6,978 6,968 8,58 8,58 59,87124 59,78544 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-22 6,905 6,895 8,56 8,56 59,1068 59,0212 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-23 6,895 6,885 8,59 8,59 59,22805 59,14215 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-24 6,858 6,848 8,57 8,57 58,77306 58,68736 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-25 6,885 6,875 8,63 8,63 59,41755 59,33125 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-02-28 6,828 6,818 8,69 8,69 59,33532 59,24842 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-01 6,87 6,86 8,78 8,78 60,3186 60,2308 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-02 6,888 6,878 8,77 8,77 60,40776 60,32006 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-03 6,903 6,893 8,74 8,74 60,33222 60,24482 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-04 6,9 6,89 8,75 8,75 60,375 60,2875 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-07 6,84 6,83 8,78 8,78 60,0552 59,9674 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-08 6,825 6,815 8,78 8,78 59,9235 59,8357 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-09 6,76 6,75 8,84 8,84 59,7584 59,67 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-10 6,745 6,735 8,82 8,82 59,4909 59,4027 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-11 6,765 6,755 8,82 8,82 59,6673 59,5791 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-14 6,76 6,75 8,81 8,81 59,5556 59,4675 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-15 6,815 6,805 8,73 8,73 59,49495 59,40765 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-16 6,81 6,8 8,79 8,79 59,8599 59,772 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-17 6,795 6,785 8,75 8,75 59,45625 59,36875 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-18 6,828 6,818 8,78 8,78 59,94984 59,86204 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-21 6,908 6,898 8,77 8,77 60,58316 60,49546 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-22 6,928 6,918 8,7 8,7 60,2736 60,1866 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-23 6,973 6,963 8,65 8,65 60,31645 60,22995 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-24 7,008 6,998 8,56 8,56 59,98848 59,90288 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-29 7,055 7,045 8,44 8,44 59,5442 59,4598 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-30 7,053 7,043 8,37 8,37 59,03361 58,94991 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-03-31 7,065 7,055 8,41 8,41 59,41665 59,33255 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-01 7,07 7,06 8,5 8,5 60,095 60,01 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-04 7,113 7,103 8,46 8,46 60,17598 60,09138 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-05 7,163 7,153 8,45 8,45 60,52735 60,44285 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-06 7,125 7,115 8,45 8,45 60,20625 60,12175 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-07 7,083 7,073 8,46 8,46 59,92218 59,83758 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-08 7,153 7,143 8,53 8,53 61,01509 60,92979 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-11 7,098 7,088 8,43 8,43 59,83614 59,75184 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-12 7,048 7,038 8,46 8,46 59,62608 59,54148 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-13 7,075 7,065 8,44 8,44 59,713 59,6286 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-14 7,12 7,11 8,41 8,41 59,8792 59,7951 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-15 7,17 7,16 8,24 8,24 59,0808 58,9984 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-18 7,08 7,07 7,99 7,99 56,5692 56,4893 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-19 7,068 7,058 8,11 8,11 57,32148 57,24038 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-20 7,043 7,033 8,15 8,15 57,40045 57,31895 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-21 7,025 7,015 8,14 8,14 57,1835 57,1021 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-22 7,023 7,013 8,15 8,15 57,23745 57,15595 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-25 7,04 7,03 8,22 8,22 57,8688 57,7866 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-26 7,035 7,025 8,24 8,24 57,9684 57,886 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-27 7,085 7,075 8,22 8,22 58,2387 58,1565 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-28 7,085 7,075 8,19 8,19 58,02615 57,94425 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-04-29 7,08 7,07 8,2 8,2 58,056 57,974 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-02 7,15 7,14 8,25 8,25 58,9875 58,905 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-03 7,178 7,168 8,24 8,24 59,14672 59,06432 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-04 7,11 7,1 8,23 8,23 58,5153 58,433 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-06 7,085 7,075 8,43 8,43 59,72655 59,64225 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-09 7,168 7,158 8,42 8,42 60,35456 60,27036 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-10 7,178 7,168 8,35 8,35 59,9363 59,8528 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-11 7,15 7,14 8,31 8,31 59,4165 59,3334 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-12 7,243 7,233 8,33 8,33 60,33419 60,25089 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-13 7,265 7,255 8,23 8,23 59,79095 59,70865 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-17 7,313 7,303 8,09 8,09 59,16217 59,08127 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-18 7,3 7,29 8,06 8,06 58,838 58,7574 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-19 7,26 7,25 8,19 8,19 59,4594 59,3775 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-20 7,28 7,27 8,19 8,19 59,6232 59,5413 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-23 7,32 7,31 8,21 8,21 60,0972 60,0151 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-24 7,295 7,285 8,22 8,22 59,9649 59,8827 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-25 7,298 7,288 8,19 8,19 59,77062 59,68872 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-26 7,33 7,32 8,16 8,16 59,8128 59,7312 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-27 7,338 7,328 8,2 8,2 60,1716 60,0896 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-30 7,338 7,328 8,29 8,29 60,83202 60,74912 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-05-31 7,403 7,393 8,27 8,27 61,22281 61,14011 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-01 7,428 7,418 8,28 8,28 61,50384 61,42104 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-02 7,473 7,463 8,26 8,26 61,72698 61,64438 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-03 7,438 7,428 8,28 8,28 61,58664 61,50384 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-07 7,448 7,438 8,33 8,33 62,04184 61,95854 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-08 7,435 7,425 8,38 8,38 62,3053 62,2215 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-09 7,523 7,513 8,32 8,32 62,59136 62,50816 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-10 7,525 7,515 8,35 8,35 62,83375 62,75025 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-13 7,643 7,633 8,36 8,36 63,89548 63,81188 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-14 7,663 7,653 8,27 8,27 63,37301 63,29031 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-15 7,693 7,683 8,31 8,31 63,92883 63,84573 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-16 7,678 7,668 8,32 8,32 63,88096 63,79776 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-17 7,643 7,633 8,41 8,41 64,27763 64,19353 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-20 7,543 7,533 8,43 8,43 63,58749 63,50319 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-21 7,648 7,638 8,4 8,4 64,2432 64,1592 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-22 7,608 7,598 8,42 8,42 64,05936 63,97516 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-27 7,73 7,72 8,37 8,37 64,7001 64,6164 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-28 7,76 7,75 8,4 8,4 65,184 65,1 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-29 7,833 7,823 8,39 8,39 65,71887 65,63497 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-06-30 7,823 7,813 8,38 8,38 65,55674 65,47294 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-01 7,858 7,848 8,38 8,38 65,85004 65,76624 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-04 7,945 7,935 8,39 8,39 66,65855 66,57465 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-05 7,963 7,953 8,34 8,34 66,41142 66,32802 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-06 7,895 7,885 8,3 8,3 65,5285 65,4455 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-07 7,878 7,868 8,28 8,28 65,22984 65,14704 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-08 7,913 7,903 8,26 8,26 65,36138 65,27878 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-11 7,89 7,88 8,3 8,3 65,487 65,404 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-12 7,77 7,76 8,36 8,36 64,9572 64,8736 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-13 7,703 7,693 8,43 8,43 64,93629 64,85199 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-14 7,76 7,75 8,48 8,48 65,8048 65,72 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-15 7,76 7,75 8,45 8,45 65,572 65,4875 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-18 7,78 7,77 8,45 8,45 65,741 65,6565 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-19 7,878 7,868 8,43 8,43 66,41154 66,32724 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-20 7,818 7,808 8,45 8,45 66,0621 65,9776 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-21 7,775 7,765 8,45 8,45 65,69875 65,61425 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-22 7,758 7,748 8,55 8,55 66,3309 66,2454 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-25 7,838 7,828 8,54 8,54 66,93652 66,85112 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-26 7,818 7,808 8,5 8,5 66,453 66,368 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-27 7,905 7,895 8,51 8,51 67,27155 67,18645 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-28 7,848 7,838 8,51 8,51 66,78648 66,70138 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-07-29 7,748 7,738 8,56 8,56 66,32288 66,23728 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-01 7,72 7,71 8,58 8,58 66,2376 66,1518 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-02 7,7 7,69 8,64 8,64 66,528 66,4416 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-03 7,685 7,675 8,7 8,7 66,8595 66,7725 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-04 7,618 7,608 8,68 8,68 66,12424 66,03744 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-05 7,548 7,538 8,6 8,6 64,9128 64,8268 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-08 7,558 7,548 8,61 8,61 65,07438 64,98828 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-09 7,548 7,538 8,65 8,65 65,2902 65,2037 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-10 7,558 7,548 8,73 8,73 65,98134 65,89404 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-11 7,523 7,513 8,87 8,87 66,72901 66,64031 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-12 7,46 7,45 8,93 8,93 66,6178 66,5285 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-16 7,523 7,513 8,98 8,98 67,55654 67,46674 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-17 7,605 7,595 8,95 8,95 68,06475 67,97525 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-18 7,61 7,6 8,92 8,92 67,8812 67,792 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-19 7,698 7,688 8,83 8,83 67,97334 67,88504 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-22 7,69 7,68 8,94 8,94 68,7486 68,6592 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-23 7,663 7,653 8,93 8,93 68,43059 68,34129 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-24 7,673 7,663 8,93 8,93 68,51989 68,43059 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-25 7,588 7,578 8,86 8,86 67,22968 67,14108 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-26 7,578 7,568 8,92 8,92 67,59576 67,50656 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-29 7,573 7,563 8,83 8,83 66,86959 66,78129 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-30 7,633 7,623 8,85 8,85 67,55205 67,46355 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-08-31 7,668 7,658 8,78 8,78 67,32504 67,23724 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-01 7,568 7,558 8,87 8,87 67,12816 67,03946 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-02 7,435 7,425 8,98 8,98 66,7663 66,6765 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-05 7,41 7,4 9,05 9,05 67,0605 66,97 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-06 7,485 7,475 9,09 9,09 68,03865 67,94775 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-07 7,43 7,42 9,09 9,09 67,5387 67,4478 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-08 7,498 7,488 9,05 9,05 67,8569 67,7664 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-09 7,523 7,513 9,1 9,1 68,4593 68,3683 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-12 7,555 7,545 9,22 9,22 69,6571 69,5649 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-13 7,57 7,56 9,25 9,25 70,0225 69,93 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-14 7,61 7,6 9,18 9,18 69,8598 69,768 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-15 7,658 7,648 9,29 9,29 71,14282 71,04992 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-16 7,613 7,603 9,28 9,28 70,64864 70,55584 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-19 7,698 7,688 9,25 9,25 71,2065 71,114 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-20 7,688 7,678 9,34 9,34 71,80592 71,71252 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-21 7,663 7,653 9,37 9,37 71,80231 71,70861 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-22 7,648 7,638 9,36 9,36 71,58528 71,49168 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-23 7,733 7,723 9,33 9,33 72,14889 72,05559 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-26 7,798 7,788 9,45 9,45 73,6911 73,5966 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-27 7,825 7,815 9,38 9,38 73,3985 73,3047 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-28 7,81 7,8 9,45 9,45 73,8045 73,71 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-29 7,785 7,775 9,61 9,61 74,81385 74,71775 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-09-30 7,785 7,775 9,58 9,58 74,5803 74,4845 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-03 7,783 7,773 9,54 9,54 74,24982 74,15442 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-04 7,82 7,81 9,55 9,55 74,681 74,5855 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-05 7,795 7,785 9,46 9,46 73,7407 73,6461 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-06 7,713 7,703 9,24 9,24 71,26812 71,17572 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-07 7,683 7,673 9,22 9,22 70,83726 70,74506 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-10 7,698 7,688 9,26 9,26 71,28348 71,19088 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-11 7,77 7,76 9,38 9,38 72,8826 72,7888 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-12 7,805 7,795 9,35 9,35 72,97675 72,88325 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-13 7,83 7,82 9,29 9,29 72,7407 72,6478 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-14 7,833 7,823 9,2 9,2 72,0636 71,9716 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-17 7,835 7,825 9,22 9,22 72,2387 72,1465 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-18 7,893 7,883 9,2 9,2 72,6156 72,5236 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-19 7,96 7,95 9,03 9,03 71,8788 71,7885 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-20 7,93 7,92 9,04 9,04 71,6872 71,5968 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-21 7,883 7,873 9,05 9,05 71,34115 71,25065 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-24 7,995 7,985 9,02 9,02 72,1149 72,0247 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-25 7,99 7,98 9,09 9,09 72,6291 72,5382 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-26 7,868 7,858 9,17 9,17 72,14956 72,05786 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-27 7,868 7,858 9,21 9,21 72,46428 72,37218 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-28 7,825 7,815 9,17 9,17 71,75525 71,66355 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-10-31 7,905 7,895 9,28 9,28 73,3584 73,2656 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-02 7,98 7,97 9,44 9,44 75,3312 75,2368 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-03 8,01 8 9,43 9,43 75,5343 75,44 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-04 8,028 8,018 9,54 9,54 76,58712 76,49172 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-07 8,135 8,125 9,47 9,47 77,03845 76,94375 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-08 8,17 8,16 9,47 9,47 77,3699 77,2752 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-09 8,12 8,11 9,44 9,44 76,6528 76,5584 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-10 8,173 8,163 9,47 9,47 77,39831 77,30361 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-11 8,235 8,225 9,5 9,5 78,2325 78,1375 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-14 8,133 8,123 9,45 9,45 76,85685 76,76235 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-15 8,185 8,175 9,39 9,39 76,85715 76,76325 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-16 8,21 8,2 9,42 9,42 77,3382 77,244 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-17 8,258 8,248 9,52 9,52 78,61616 78,52096 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-18 8,223 8,213 9,69 9,69 79,68087 79,58397 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-21 8,123 8,113 9,66 9,66 78,46818 78,37158 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-22 8,15 8,14 9,65 9,65 78,6475 78,551 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-23 8,048 8,038 9,61 9,61 77,34128 77,24518 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-24 8,053 8,043 9,67 9,67 77,87251 77,77581 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-25 8,078 8,068 9,71 9,71 78,43738 78,34028 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-28 8,118 8,108 9,73 9,73 78,98814 78,89084 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-29 8,015 8,005 9,68 9,68 77,5852 77,4884 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-11-30 8,088 8,078 9,68 9,68 78,29184 78,19504 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-01 8,083 8,073 9,75 9,75 78,80925 78,71175 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-02 8,103 8,093 9,88 9,88 80,05764 79,95884 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-05 8,045 8,035 9,89 9,89 79,56505 79,46615 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-06 7,993 7,983 9,86 9,86 78,81098 78,71238 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-07 8,015 8,005 9,95 9,95 79,74925 79,64975 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-08 7,988 7,978 9,79 9,79 78,20252 78,10462 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-12 7,953 7,943 10,02 10,02 79,68906 79,58886 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-13 7,905 7,895 10,07 10,07 79,60335 79,50265 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-14 7,848 7,838 9,97 9,97 78,24456 78,14486 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-15 7,858 7,848 9,99 9,99 78,50142 78,40152 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-16 7,903 7,893 10,09 10,09 79,74127 79,64037 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-19 7,865 7,855 10,13 10,13 79,67245 79,57115 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-20 7,848 7,838 10,23 10,23 80,28504 80,18274 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-21 7,948 7,938 10,32 10,32 82,02336 81,92016 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-22 7,98 7,97 10,3 10,3 82,194 82,091 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-23 7,955 7,945 10,27 10,27 81,69785 81,59515 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-27 8,01 8 10,3 10,3 82,503 82,4 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-28 7,915 7,905 10,35 10,35 81,92025 81,81675 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-29 7,938 7,928 10,39 10,39 82,47582 82,37192 919787 Handelsbanken Fonder AB Lux Far East (Svenska Selection Fund Far East Shares) USD 2005-12-30 7,958 7,948 10,26 10,26 81,64908 81,54648 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-03 6,668 6,658 8,01 8,01 53,41068 53,33058 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-04 6,728 6,718 7,88 7,88 53,01664 52,93784 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-05 6,828 6,818 7,81 7,81 53,32668 53,24858 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-07 6,87 6,86 7,81 7,81 53,6547 53,5766 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-10 6,96091 6,95091 7,83 7,83 54,5039253 54,4256253 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-11 6,96091 6,95091 7,76 7,76 54,0166616 53,9390616 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-12 6,913 6,903 7,77 7,77 53,71401 53,63631 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-13 6,843 6,833 7,72 7,72 52,82796 52,75076 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-14 6,915 6,905 7,75 7,75 53,59125 53,51375 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-17 6,915 6,905 7,77 7,77 53,72955 53,65185 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-18 6,968 6,958 7,8 7,8 54,3504 54,2724 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-19 6,91 6,9 7,67 7,67 52,9997 52,923 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-20 6,96 6,95 7,58 7,58 52,7568 52,681 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-21 6,978 6,968 7,51 7,51 52,40478 52,32968 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-24 6,933 6,923 7,46 7,46 51,72018 51,64558 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-25 6,95 6,94 7,48 7,48 51,986 51,9112 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-26 6,995 6,985 7,55 7,55 52,81225 52,73675 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-27 6,93 6,92 7,57 7,57 52,4601 52,3844 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-28 6,985 6,975 7,55 7,55 52,73675 52,66125 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-01-31 6,998 6,988 7,63 7,63 53,39474 53,31844 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-01 6,993 6,983 7,66 7,66 53,56638 53,48978 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-02 6,953 6,943 7,68 7,68 53,39904 53,32224 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-03 6,968 6,958 7,59 7,59 52,88712 52,81122 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-04 7,01 7 7,59 7,59 53,2059 53,13 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-07 7,065 7,055 7,7 7,7 54,4005 54,3235 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-08 7,123 7,113 7,71 7,71 54,91833 54,84123 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-09 7,1 7,09 7,71 7,71 54,741 54,6639 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-10 7,088 7,078 7,64 7,64 54,15232 54,07592 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-11 7,068 7,058 7,62 7,62 53,85816 53,78196 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-14 7,03 7,02 7,7 7,7 54,131 54,054 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-15 7,005 6,995 7,75 7,75 54,28875 54,21125 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-16 6,973 6,963 7,79 7,79 54,31967 54,24177 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-17 6,97 6,96 7,75 7,75 54,0175 53,94 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-18 6,965 6,955 7,65 7,65 53,28225 53,20575 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-21 6,978 6,968 7,64 7,64 53,31192 53,23552 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-22 6,905 6,895 7,64 7,64 52,7542 52,6778 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-23 6,895 6,885 7,6 7,6 52,402 52,326 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-24 6,858 6,848 7,57 7,57 51,91506 51,83936 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-25 6,885 6,875 7,63 7,63 52,53255 52,45625 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-02-28 6,828 6,818 7,69 7,69 52,50732 52,43042 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-01 6,87 6,86 7,69 7,69 52,8303 52,7534 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-02 6,888 6,878 7,76 7,76 53,45088 53,37328 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-03 6,903 6,893 7,73 7,73 53,36019 53,28289 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-04 6,9 6,89 7,7 7,7 53,13 53,053 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-07 6,84 6,83 7,72 7,72 52,8048 52,7276 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-08 6,825 6,815 7,81 7,81 53,30325 53,22515 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-09 6,76 6,75 7,75 7,75 52,39 52,3125 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-10 6,745 6,735 7,75 7,75 52,27375 52,19625 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-11 6,765 6,755 7,77 7,77 52,56405 52,48635 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-14 6,76 6,75 7,69 7,69 51,9844 51,9075 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-15 6,815 6,805 7,69 7,69 52,40735 52,33045 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-16 6,81 6,8 7,63 7,63 51,9603 51,884 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-17 6,795 6,785 7,56 7,56 51,3702 51,2946 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-18 6,828 6,818 7,55 7,55 51,5514 51,4759 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-21 6,908 6,898 7,52 7,52 51,94816 51,87296 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-22 6,928 6,918 7,51 7,51 52,02928 51,95418 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-23 6,973 6,963 7,45 7,45 51,94885 51,87435 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-24 7,008 6,998 7,46 7,46 52,27968 52,20508 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-29 7,055 7,045 7,46 7,46 52,6303 52,5557 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-30 7,053 7,043 7,41 7,41 52,26273 52,18863 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-03-31 7,065 7,055 7,5 7,5 52,9875 52,9125 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-01 7,07 7,06 7,49 7,49 52,9543 52,8794 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-04 7,113 7,103 7,44 7,44 52,92072 52,84632 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-05 7,163 7,153 7,43 7,43 53,22109 53,14679 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-06 7,125 7,115 7,44 7,44 53,01 52,9356 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-07 7,083 7,073 7,44 7,44 52,69752 52,62312 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-08 7,153 7,143 7,53 7,53 53,86209 53,78679 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-11 7,098 7,088 7,48 7,48 53,09304 53,01824 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-12 7,048 7,038 7,45 7,45 52,5076 52,4331 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-13 7,075 7,065 7,46 7,46 52,7795 52,7049 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-14 7,12 7,11 7,36 7,36 52,4032 52,3296 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-15 7,17 7,16 7,27 7,27 52,1259 52,0532 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-18 7,08 7,07 7,06 7,06 49,9848 49,9142 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-19 7,068 7,058 7,03 7,03 49,68804 49,61774 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-20 7,043 7,033 7,11 7,11 50,07573 50,00463 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-21 7,025 7,015 7,09 7,09 49,80725 49,73635 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-22 7,023 7,013 7,28 7,28 51,12744 51,05464 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-25 7,04 7,03 7,23 7,23 50,8992 50,8269 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-26 7,035 7,025 7,28 7,28 51,2148 51,142 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-27 7,085 7,075 7,21 7,21 51,08285 51,01075 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-28 7,085 7,075 7,2 7,2 51,012 50,94 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-04-29 7,08 7,07 7,12 7,12 50,4096 50,3384 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-02 7,15 7,14 7,19 7,19 51,4085 51,3366 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-03 7,178 7,168 7,19 7,19 51,60982 51,53792 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-04 7,11 7,1 7,22 7,22 51,3342 51,262 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-06 7,085 7,075 7,3 7,3 51,7205 51,6475 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-09 7,168 7,158 7,36 7,36 52,75648 52,68288 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-10 7,178 7,168 7,37 7,37 52,90186 52,82816 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-11 7,15 7,14 7,35 7,35 52,5525 52,479 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-12 7,243 7,233 7,33 7,33 53,09119 53,01789 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-13 7,265 7,255 7,32 7,32 53,1798 53,1066 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-17 7,313 7,303 7,44 7,44 54,40872 54,33432 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-18 7,3 7,29 7,47 7,47 54,531 54,4563 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-19 7,26 7,25 7,55 7,55 54,813 54,7375 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-20 7,28 7,27 7,62 7,62 55,4736 55,3974 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-23 7,32 7,31 7,63 7,63 55,8516 55,7753 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-24 7,295 7,285 7,66 7,66 55,8797 55,8031 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-25 7,298 7,288 7,69 7,69 56,12162 56,04472 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-26 7,33 7,32 7,63 7,63 55,9279 55,8516 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-27 7,338 7,328 7,71 7,71 56,57598 56,49888 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-30 7,338 7,328 7,72 7,72 56,64936 56,57216 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-05-31 7,403 7,393 7,73 7,73 57,22519 57,14789 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-01 7,428 7,418 7,66 7,66 56,89848 56,82188 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-02 7,473 7,463 7,73 7,73 57,76629 57,68899 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-03 7,438 7,428 7,78 7,78 57,86764 57,78984 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-07 7,448 7,438 7,7 7,7 57,3496 57,2726 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-08 7,435 7,425 7,68 7,68 57,1008 57,024 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-09 7,523 7,513 7,68 7,68 57,77664 57,69984 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-10 7,525 7,515 7,7 7,7 57,9425 57,8655 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-13 7,643 7,633 7,65 7,65 58,46895 58,39245 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-14 7,663 7,653 7,65 7,65 58,62195 58,54545 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-15 7,693 7,683 7,63 7,63 58,69759 58,62129 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-16 7,678 7,668 7,65 7,65 58,7367 58,6602 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-17 7,643 7,633 7,68 7,68 58,69824 58,62144 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-20 7,543 7,533 7,69 7,69 58,00567 57,92877 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-21 7,648 7,638 7,7 7,7 58,8896 58,8126 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-22 7,608 7,598 7,72 7,72 58,73376 58,65656 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-27 7,73 7,72 7,72 7,72 59,6756 59,5984 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-28 7,76 7,75 7,56 7,56 58,6656 58,59 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-29 7,833 7,823 7,62 7,62 59,68746 59,61126 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-06-30 7,823 7,813 7,63 7,63 59,68949 59,61319 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-01 7,858 7,848 7,57 7,57 59,48506 59,40936 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-04 7,945 7,935 7,57 7,57 60,14365 60,06795 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-05 7,963 7,953 7,55 7,55 60,12065 60,04515 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-06 7,895 7,885 7,6 7,6 60,002 59,926 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-07 7,878 7,868 7,59 7,59 59,79402 59,71812 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-08 7,913 7,903 7,6 7,6 60,1388 60,0628 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-11 7,89 7,88 7,71 7,71 60,8319 60,7548 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-12 7,77 7,76 7,8 7,8 60,606 60,528 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-13 7,703 7,693 7,87 7,87 60,62261 60,54391 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-14 7,76 7,75 7,91 7,91 61,3816 61,3025 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-15 7,76 7,75 7,96 7,96 61,7696 61,69 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-18 7,78 7,77 7,96 7,96 61,9288 61,8492 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-19 7,878 7,868 7,92 7,92 62,39376 62,31456 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-20 7,818 7,808 8,03 8,03 62,77854 62,69824 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-21 7,775 7,765 8,01 8,01 62,27775 62,19765 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-22 7,758 7,748 7,97 7,97 61,83126 61,75156 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-25 7,838 7,828 7,92 7,92 62,07696 61,99776 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-26 7,818 7,808 7,88 7,88 61,60584 61,52704 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-27 7,905 7,895 7,9 7,9 62,4495 62,3705 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-28 7,848 7,838 7,94 7,94 62,31312 62,23372 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-07-29 7,748 7,738 7,95 7,95 61,5966 61,5171 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-01 7,72 7,71 7,9 7,9 60,988 60,909 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-02 7,7 7,69 7,92 7,92 60,984 60,9048 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-03 7,685 7,675 8,02 8,02 61,6337 61,5535 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-04 7,618 7,608 8,05 8,05 61,3249 61,2444 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-05 7,548 7,538 7,97 7,97 60,15756 60,07786 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-08 7,558 7,548 7,94 7,94 60,01052 59,93112 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-09 7,548 7,538 7,91 7,91 59,70468 59,62558 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-10 7,558 7,548 7,96 7,96 60,16168 60,08208 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-11 7,523 7,513 7,92 7,92 59,58216 59,50296 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-12 7,46 7,45 7,96 7,96 59,3816 59,302 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-16 7,523 7,513 7,93 7,93 59,65739 59,57809 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-17 7,605 7,595 7,84 7,84 59,6232 59,5448 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-18 7,61 7,6 7,9 7,9 60,119 60,04 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-19 7,698 7,688 7,85 7,85 60,4293 60,3508 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-22 7,69 7,68 7,86 7,86 60,4434 60,3648 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-23 7,663 7,653 7,88 7,88 60,38444 60,30564 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-24 7,673 7,663 7,88 7,88 60,46324 60,38444 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-25 7,588 7,578 7,85 7,85 59,5658 59,4873 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-26 7,578 7,568 7,86 7,86 59,56308 59,48448 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-29 7,573 7,563 7,84 7,84 59,37232 59,29392 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-30 7,633 7,623 7,86 7,86 59,99538 59,91678 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-08-31 7,668 7,658 7,84 7,84 60,11712 60,03872 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-01 7,568 7,558 7,89 7,89 59,71152 59,63262 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-02 7,435 7,425 7,89 7,89 58,66215 58,58325 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-05 7,41 7,4 7,9 7,9 58,539 58,46 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-06 7,485 7,475 7,91 7,91 59,20635 59,12725 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-07 7,43 7,42 7,98 7,98 59,2914 59,2116 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-08 7,498 7,488 8 8 59,984 59,904 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-09 7,523 7,513 8 8 60,184 60,104 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-12 7,555 7,545 8,06 8,06 60,8933 60,8127 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-13 7,57 7,56 8,08 8,08 61,1656 61,0848 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-14 7,61 7,6 8,08 8,08 61,4888 61,408 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-15 7,658 7,648 8,04 8,04 61,57032 61,48992 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-16 7,613 7,603 8 8 60,904 60,824 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-19 7,698 7,688 8,04 8,04 61,89192 61,81152 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-20 7,688 7,678 7,99 7,99 61,42712 61,34722 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-21 7,663 7,653 7,96 7,96 60,99748 60,91788 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-22 7,648 7,638 7,89 7,89 60,34272 60,26382 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-23 7,733 7,723 7,88 7,88 60,93604 60,85724 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-26 7,798 7,788 7,89 7,89 61,52622 61,44732 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-27 7,825 7,815 7,9 7,9 61,8175 61,7385 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-28 7,81 7,8 7,84 7,84 61,2304 61,152 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-29 7,785 7,775 7,89 7,89 61,42365 61,34475 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-09-30 7,785 7,775 7,97 7,97 62,04645 61,96675 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-03 7,783 7,773 8,02 8,02 62,41966 62,33946 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-04 7,82 7,81 8,03 8,03 62,7946 62,7143 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-05 7,795 7,785 8 8 62,36 62,28 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-06 7,713 7,703 7,9 7,9 60,9327 60,8537 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-07 7,683 7,673 7,81 7,81 60,00423 59,92613 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-10 7,698 7,688 7,82 7,82 60,19836 60,12016 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-11 7,77 7,76 7,77 7,77 60,3729 60,2952 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-12 7,805 7,795 7,74 7,74 60,4107 60,3333 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-13 7,83 7,82 7,69 7,69 60,2127 60,1358 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-14 7,833 7,823 7,71 7,71 60,39243 60,31533 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-17 7,835 7,825 7,74 7,74 60,6429 60,5655 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-18 7,893 7,883 7,75 7,75 61,17075 61,09325 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-19 7,96 7,95 7,71 7,71 61,3716 61,2945 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-20 7,93 7,92 7,77 7,77 61,6161 61,5384 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-21 7,883 7,873 7,72 7,72 60,85676 60,77956 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-24 7,995 7,985 7,78 7,78 62,2011 62,1233 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-25 7,99 7,98 7,83 7,83 62,5617 62,4834 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-26 7,868 7,858 7,8 7,8 61,3704 61,2924 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-27 7,868 7,858 7,8 7,8 61,3704 61,2924 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-28 7,825 7,815 7,71 7,71 60,33075 60,25365 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-10-31 7,905 7,895 7,75 7,75 61,26375 61,18625 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-02 7,98 7,97 7,84 7,84 62,5632 62,4848 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-03 8,01 8 7,92 7,92 63,4392 63,36 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-04 8,028 8,018 8,01 8,01 64,30428 64,22418 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-07 8,135 8,125 8,06 8,06 65,5681 65,4875 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-08 8,17 8,16 8,09 8,09 66,0953 66,0144 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-09 8,12 8,11 8,06 8,06 65,4472 65,3666 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-10 8,173 8,163 8,08 8,08 66,03784 65,95704 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-11 8,235 8,225 8,13 8,13 66,95055 66,86925 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-14 8,133 8,123 8,15 8,15 66,28395 66,20245 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-15 8,185 8,175 8,15 8,15 66,70775 66,62625 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-16 8,21 8,2 8,13 8,13 66,7473 66,666 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-17 8,258 8,248 8,17 8,17 67,46786 67,38616 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-18 8,223 8,213 8,28 8,28 68,08644 68,00364 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-21 8,123 8,113 8,31 8,31 67,50213 67,41903 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-22 8,15 8,14 8,34 8,34 67,971 67,8876 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-23 8,048 8,038 8,37 8,37 67,36176 67,27806 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-24 8,053 8,043 8,43 8,43 67,88679 67,80249 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-25 8,078 8,068 8,43 8,43 68,09754 68,01324 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-28 8,118 8,108 8,45 8,45 68,5971 68,5126 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-29 8,015 8,005 8,43 8,43 67,56645 67,48215 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-11-30 8,088 8,078 8,41 8,41 68,02008 67,93598 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-01 8,083 8,073 8,39 8,39 67,81637 67,73247 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-02 8,103 8,093 8,53 8,53 69,11859 69,03329 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-05 8,045 8,035 8,55 8,55 68,78475 68,69925 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-06 7,993 7,983 8,5 8,5 67,9405 67,8555 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-07 8,015 8,005 8,52 8,52 68,2878 68,2026 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-08 7,988 7,978 8,49 8,49 67,81812 67,73322 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-12 7,953 7,943 8,5 8,5 67,6005 67,5155 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-13 7,905 7,895 8,55 8,55 67,58775 67,50225 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-14 7,848 7,838 8,54 8,54 67,02192 66,93652 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-15 7,858 7,848 8,54 8,54 67,10732 67,02192 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-16 7,903 7,893 8,53 8,53 67,41259 67,32729 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-19 7,865 7,855 8,51 8,51 66,93115 66,84605 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-20 7,848 7,838 8,45 8,45 66,3156 66,2311 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-21 7,948 7,938 8,44 8,44 67,08112 66,99672 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-22 7,98 7,97 8,46 8,46 67,5108 67,4262 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-23 7,955 7,945 8,5 8,5 67,6175 67,5325 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-27 8,01 8 8,52 8,52 68,2452 68,16 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-28 7,915 7,905 8,46 8,46 66,9609 66,8763 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-29 7,938 7,928 8,47 8,47 67,23486 67,15016 161927 Handelsbanken Fonder AB Lux IT (Svenska Selection Fund Global IT) USD 2005-12-30 7,958 7,948 8,44 8,44 67,16552 67,08112 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-03 1 1 2635,14 2635,14 2635,14 2635,14 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-04 1 1 2643,28 2643,28 2643,28 2643,28 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-05 1 1 2647,09 2647,09 2647,09 2647,09 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-07 1 1 2643,45 2643,45 2643,45 2643,45 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-10 1 1 2650,84 2650,84 2650,84 2650,84 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-11 1 1 2653,16 2653,16 2653,16 2653,16 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-12 1 1 2656,14 2656,14 2656,14 2656,14 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-13 1 1 2655,17 2655,17 2655,17 2655,17 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-14 1 1 2657,4 2657,4 2657,4 2657,4 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-17 1 1 2660,21 2660,21 2660,21 2660,21 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-18 1 1 2660,22 2660,22 2660,22 2660,22 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-19 1 1 2662,94 2662,94 2662,94 2662,94 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-20 1 1 2667,57 2667,57 2667,57 2667,57 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-21 1 1 2664,61 2664,61 2664,61 2664,61 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-24 1 1 2666,04 2666,04 2666,04 2666,04 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-25 1 1 2671,64 2671,64 2671,64 2671,64 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-26 1 1 2671,09 2671,09 2671,09 2671,09 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-27 1 1 2667,42 2667,42 2667,42 2667,42 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-28 1 1 2664,19 2664,19 2664,19 2664,19 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-01-31 1 1 2669,21 2669,21 2669,21 2669,21 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-01 1 1 2673,09 2673,09 2673,09 2673,09 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-02 1 1 2673,91 2673,91 2673,91 2673,91 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-03 1 1 2674,98 2674,98 2674,98 2674,98 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-04 1 1 2673,22 2673,22 2673,22 2673,22 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-07 1 1 2677,61 2677,61 2677,61 2677,61 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-08 1 1 2680,74 2680,74 2680,74 2680,74 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-09 1 1 2678,87 2678,87 2678,87 2678,87 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-10 1 1 2683,91 2683,91 2683,91 2683,91 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-11 1 1 2687,03 2687,03 2687,03 2687,03 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-14 1 1 2686,49 2686,49 2686,49 2686,49 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-15 1 1 2683,61 2683,61 2683,61 2683,61 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-16 1 1 2681,68 2681,68 2681,68 2681,68 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-17 1 1 2684,12 2684,12 2684,12 2684,12 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-18 1 1 2680,94 2680,94 2680,94 2680,94 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-21 1 1 2671,81 2671,81 2671,81 2671,81 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-22 1 1 2667,2 2667,2 2667,2 2667,2 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-23 1 1 2664,89 2664,89 2664,89 2664,89 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-24 1 1 2669,13 2669,13 2669,13 2669,13 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-25 1 1 2664,42 2664,42 2664,42 2664,42 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-02-28 1 1 2663,51 2663,51 2663,51 2663,51 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-01 1 1 2666,93 2666,93 2666,93 2666,93 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-02 1 1 2664,27 2664,27 2664,27 2664,27 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-03 1 1 2660,84 2660,84 2660,84 2660,84 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-04 1 1 2662,29 2662,29 2662,29 2662,29 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-07 1 1 2667,14 2667,14 2667,14 2667,14 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-08 1 1 2674,37 2674,37 2674,37 2674,37 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-09 1 1 2677,92 2677,92 2677,92 2677,92 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-10 1 1 2676,4 2676,4 2676,4 2676,4 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-11 1 1 2668,66 2668,66 2668,66 2668,66 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-14 1 1 2666,93 2666,93 2666,93 2666,93 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-15 1 1 2663,97 2663,97 2663,97 2663,97 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-16 1 1 2670,62 2670,62 2670,62 2670,62 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-17 1 1 2669,81 2669,81 2669,81 2669,81 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-18 1 1 2672,19 2672,19 2672,19 2672,19 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-21 1 1 2670,89 2670,89 2670,89 2670,89 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-22 1 1 2668,7 2668,7 2668,7 2668,7 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-23 1 1 2671,4 2671,4 2671,4 2671,4 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-24 1 1 2668,65 2668,65 2668,65 2668,65 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-29 1 1 2673,9 2673,9 2673,9 2673,9 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-30 1 1 2673,22 2673,22 2673,22 2673,22 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-03-31 1 1 2677,3 2677,3 2677,3 2677,3 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-01 1 1 2682,05 2682,05 2682,05 2682,05 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-04 1 1 2688,13 2688,13 2688,13 2688,13 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-05 1 1 2689,31 2689,31 2689,31 2689,31 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-06 1 1 2690,08 2690,08 2690,08 2690,08 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-07 1 1 2692,41 2692,41 2692,41 2692,41 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-08 1 1 2690,49 2690,49 2690,49 2690,49 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-11 1 1 2687,99 2687,99 2687,99 2687,99 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-12 1 1 2691,54 2691,54 2691,54 2691,54 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-13 1 1 2692,89 2692,89 2692,89 2692,89 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-14 1 1 2696,04 2696,04 2696,04 2696,04 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-15 1 1 2699,13 2699,13 2699,13 2699,13 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-18 1 1 2707,09 2707,09 2707,09 2707,09 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-19 1 1 2712,17 2712,17 2712,17 2712,17 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-20 1 1 2707,49 2707,49 2707,49 2707,49 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-21 1 1 2711,19 2711,19 2711,19 2711,19 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-22 1 1 2712,09 2712,09 2712,09 2712,09 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-25 1 1 2715,27 2715,27 2715,27 2715,27 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-26 1 1 2720,36 2720,36 2720,36 2720,36 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-27 1 1 2727,67 2727,67 2727,67 2727,67 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-28 1 1 2724,79 2724,79 2724,79 2724,79 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-04-29 1 1 2733,17 2733,17 2733,17 2733,17 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-02 1 1 2737,68 2737,68 2737,68 2737,68 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-03 1 1 2738,25 2738,25 2738,25 2738,25 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-04 1 1 2738,41 2738,41 2738,41 2738,41 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-06 1 1 2733,28 2733,28 2733,28 2733,28 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-09 1 1 2726,07 2726,07 2726,07 2726,07 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-10 1 1 2726,23 2726,23 2726,23 2726,23 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-11 1 1 2735,66 2735,66 2735,66 2735,66 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-12 1 1 2739,45 2739,45 2739,45 2739,45 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-13 1 1 2739,26 2739,26 2739,26 2739,26 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-17 1 1 2746,59 2746,59 2746,59 2746,59 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-18 1 1 2747,53 2747,53 2747,53 2747,53 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-19 1 1 2751,89 2751,89 2751,89 2751,89 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-20 1 1 2753,06 2753,06 2753,06 2753,06 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-23 1 1 2747,6 2747,6 2747,6 2747,6 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-24 1 1 2747,96 2747,96 2747,96 2747,96 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-25 1 1 2753 2753 2753 2753 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-26 1 1 2756,06 2756,06 2756,06 2756,06 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-27 1 1 2752,28 2752,28 2752,28 2752,28 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-30 1 1 2753,14 2753,14 2753,14 2753,14 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-05-31 1 1 2751,6 2751,6 2751,6 2751,6 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-01 1 1 2755,93 2755,93 2755,93 2755,93 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-02 1 1 2763,3 2763,3 2763,3 2763,3 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-03 1 1 2767,71 2767,71 2767,71 2767,71 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-07 1 1 2778,85 2778,85 2778,85 2778,85 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-08 1 1 2781,69 2781,69 2781,69 2781,69 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-09 1 1 2790,47 2790,47 2790,47 2790,47 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-10 1 1 2790,36 2790,36 2790,36 2790,36 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-13 1 1 2791,67 2791,67 2791,67 2791,67 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-14 1 1 2790,43 2790,43 2790,43 2790,43 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-15 1 1 2784,71 2784,71 2784,71 2784,71 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-16 1 1 2777,99 2777,99 2777,99 2777,99 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-17 1 1 2768,05 2768,05 2768,05 2768,05 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-20 1 1 2774,7 2774,7 2774,7 2774,7 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-21 1 1 2779,35 2779,35 2779,35 2779,35 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-22 1 1 2787,61 2787,61 2787,61 2787,61 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-23 1 1 2787,61 2787,61 2787,61 2787,61 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-27 1 1 2800,37 2800,37 2800,37 2800,37 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-28 1 1 2801,01 2801,01 2801,01 2801,01 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-29 1 1 2800,27 2800,27 2800,27 2800,27 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-06-30 1 1 2798,08 2798,08 2798,08 2798,08 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-01 1 1 2799,62 2799,62 2799,62 2799,62 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-04 1 1 2805,68 2805,68 2805,68 2805,68 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-05 1 1 2797,02 2797,02 2797,02 2797,02 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-06 1 1 2792,75 2792,75 2792,75 2792,75 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-07 1 1 2794,33 2794,33 2794,33 2794,33 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-08 1 1 2795,61 2795,61 2795,61 2795,61 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-11 1 1 2798,4 2798,4 2798,4 2798,4 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-12 1 1 2796,5 2796,5 2796,5 2796,5 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-13 1 1 2787,97 2787,97 2787,97 2787,97 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-14 1 1 2785,97 2785,97 2785,97 2785,97 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-15 1 1 2784,67 2784,67 2784,67 2784,67 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-18 1 1 2782,83 2782,83 2782,83 2782,83 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-19 1 1 2784,75 2784,75 2784,75 2784,75 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-20 1 1 2782,78 2782,78 2782,78 2782,78 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-21 1 1 2784,96 2784,96 2784,96 2784,96 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-22 1 1 2788,37 2788,37 2788,37 2788,37 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-25 1 1 2789,58 2789,58 2789,58 2789,58 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-26 1 1 2793,55 2793,55 2793,55 2793,55 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-27 1 1 2793,73 2793,73 2793,73 2793,73 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-28 1 1 2796,54 2796,54 2796,54 2796,54 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-07-29 1 1 2793,89 2793,89 2793,89 2793,89 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-01 1 1 2790,63 2790,63 2790,63 2790,63 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-02 1 1 2779,51 2779,51 2779,51 2779,51 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-03 1 1 2777,09 2777,09 2777,09 2777,09 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-04 1 1 2769,09 2769,09 2769,09 2769,09 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-05 1 1 2770,36 2770,36 2770,36 2770,36 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-08 1 1 2769,28 2769,28 2769,28 2769,28 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-09 1 1 2766,57 2766,57 2766,57 2766,57 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-10 1 1 2766,07 2766,07 2766,07 2766,07 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-11 1 1 2770,57 2770,57 2770,57 2770,57 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-12 1 1 2771,12 2771,12 2771,12 2771,12 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-15 1 1 2771,12 2771,12 2771,12 2771,12 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-16 1 1 2776,18 2776,18 2776,18 2776,18 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-17 1 1 2776,63 2776,63 2776,63 2776,63 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-18 1 1 2779,5 2779,5 2779,5 2779,5 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-19 1 1 2779,03 2779,03 2779,03 2779,03 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-22 1 1 2781,17 2781,17 2781,17 2781,17 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-23 1 1 2779,22 2779,22 2779,22 2779,22 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-24 1 1 2789,05 2789,05 2789,05 2789,05 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-25 1 1 2788,22 2788,22 2788,22 2788,22 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-26 1 1 2790,29 2790,29 2790,29 2790,29 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-29 1 1 2791,25 2791,25 2791,25 2791,25 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-30 1 1 2791,64 2791,64 2791,64 2791,64 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-08-31 1 1 2789,94 2789,94 2789,94 2789,94 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-01 1 1 2795,52 2795,52 2795,52 2795,52 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-02 1 1 2800,72 2800,72 2800,72 2800,72 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-05 1 1 2804,54 2804,54 2804,54 2804,54 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-06 1 1 2806,81 2806,81 2806,81 2806,81 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-07 1 1 2802,82 2802,82 2802,82 2802,82 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-08 1 1 2802,72 2802,72 2802,72 2802,72 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-09 1 1 2803,43 2803,43 2803,43 2803,43 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-12 1 1 2808,23 2808,23 2808,23 2808,23 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-13 1 1 2807,07 2807,07 2807,07 2807,07 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-14 1 1 2798,44 2798,44 2798,44 2798,44 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-15 1 1 2801,33 2801,33 2801,33 2801,33 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-16 1 1 2795,97 2795,97 2795,97 2795,97 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-19 1 1 2793,4 2793,4 2793,4 2793,4 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-20 1 1 2792,08 2792,08 2792,08 2792,08 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-21 1 1 2796,84 2796,84 2796,84 2796,84 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-22 1 1 2803,49 2803,49 2803,49 2803,49 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-23 1 1 2804,36 2804,36 2804,36 2804,36 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-26 1 1 2798,52 2798,52 2798,52 2798,52 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-27 1 1 2792,15 2792,15 2792,15 2792,15 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-28 1 1 2791,07 2791,07 2791,07 2791,07 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-29 1 1 2790,5 2790,5 2790,5 2790,5 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-09-30 1 1 2788,14 2788,14 2788,14 2788,14 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-03 1 1 2787,74 2787,74 2787,74 2787,74 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-04 1 1 2782,54 2782,54 2782,54 2782,54 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-05 1 1 2776,65 2776,65 2776,65 2776,65 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-06 1 1 2782,65 2782,65 2782,65 2782,65 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-07 1 1 2777,41 2777,41 2777,41 2777,41 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-10 1 1 2777,47 2777,47 2777,47 2777,47 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-11 1 1 2777,84 2777,84 2777,84 2777,84 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-12 1 1 2775,97 2775,97 2775,97 2775,97 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-13 1 1 2773,63 2773,63 2773,63 2773,63 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-14 1 1 2772,28 2772,28 2772,28 2772,28 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-17 1 1 2771,6 2771,6 2771,6 2771,6 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-18 1 1 2769,96 2769,96 2769,96 2769,96 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-19 1 1 2770,84 2770,84 2770,84 2770,84 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-20 1 1 2775,95 2775,95 2775,95 2775,95 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-21 1 1 2773,45 2773,45 2773,45 2773,45 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-24 1 1 2775,71 2775,71 2775,71 2775,71 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-25 1 1 2777,22 2777,22 2777,22 2777,22 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-26 1 1 2774,2 2774,2 2774,2 2774,2 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-27 1 1 2764,54 2764,54 2764,54 2764,54 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-28 1 1 2765,06 2765,06 2765,06 2765,06 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-10-31 1 1 2763,9 2763,9 2763,9 2763,9 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-01 1 1 2763,9 2763,9 2763,9 2763,9 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-02 1 1 2762,3 2762,3 2762,3 2762,3 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-03 1 1 2757,14 2757,14 2757,14 2757,14 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-04 1 1 2753,52 2753,52 2753,52 2753,52 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-07 1 1 2747,34 2747,34 2747,34 2747,34 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-08 1 1 2743,38 2743,38 2743,38 2743,38 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-09 1 1 2744,04 2744,04 2744,04 2744,04 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-10 1 1 2744,81 2744,81 2744,81 2744,81 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-11 1 1 2743,16 2743,16 2743,16 2743,16 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-14 1 1 2743,53 2743,53 2743,53 2743,53 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-15 1 1 2749,19 2749,19 2749,19 2749,19 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-16 1 1 2744,75 2744,75 2744,75 2744,75 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-17 1 1 2748,29 2748,29 2748,29 2748,29 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-18 1 1 2751,88 2751,88 2751,88 2751,88 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-21 1 1 2751,19 2751,19 2751,19 2751,19 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-22 1 1 2749,19 2749,19 2749,19 2749,19 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-23 1 1 2748,91 2748,91 2748,91 2748,91 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-24 1 1 2749,95 2749,95 2749,95 2749,95 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-25 1 1 2753,38 2753,38 2753,38 2753,38 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-28 1 1 2757,43 2757,43 2757,43 2757,43 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-29 1 1 2753,35 2753,35 2753,35 2753,35 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-11-30 1 1 2757,01 2757,01 2757,01 2757,01 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-01 1 1 2751,56 2751,56 2751,56 2751,56 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-02 1 1 2752,15 2752,15 2752,15 2752,15 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-05 1 1 2751,35 2751,35 2751,35 2751,35 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-06 1 1 2745,23 2745,23 2745,23 2745,23 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-07 1 1 2743,55 2743,55 2743,55 2743,55 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-08 1 1 2745,53 2745,53 2745,53 2745,53 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-12 1 1 2745,9 2745,9 2745,9 2745,9 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-13 1 1 2743,49 2743,49 2743,49 2743,49 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-14 1 1 2744,69 2744,69 2744,69 2744,69 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-15 1 1 2749,45 2749,45 2749,45 2749,45 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-16 1 1 2750,4 2750,4 2750,4 2750,4 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-19 1 1 2752,91 2752,91 2752,91 2752,91 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-20 1 1 2754,88 2754,88 2754,88 2754,88 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-21 1 1 2755,68 2755,68 2755,68 2755,68 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-22 1 1 2751,59 2751,59 2751,59 2751,59 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-23 1 1 2746,01 2746,01 2746,01 2746,01 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-27 1 1 2748,24 2748,24 2748,24 2748,24 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-28 1 1 2752,23 2752,23 2752,23 2752,23 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-29 1 1 2753,66 2753,66 2753,66 2753,66 682377 Handelsbanken Fonder AB Lux Obligation (Svenska Selection Fund Swedish Bonds) SEK 2005-12-30 1 1 2752,56 2752,56 2752,56 2752,56 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-03 1 1 121,43 121,43 121,43 121,43 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-04 1 1 121,45 121,45 121,45 121,45 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-05 1 1 121,45 121,45 121,45 121,45 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-07 1 1 121,46 121,46 121,46 121,46 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-10 1 1 121,47 121,47 121,47 121,47 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-11 1 1 121,48 121,48 121,48 121,48 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-12 1 1 121,49 121,49 121,49 121,49 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-13 1 1 121,49 121,49 121,49 121,49 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-14 1 1 121,5 121,5 121,5 121,5 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-17 1 1 121,51 121,51 121,51 121,51 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-18 1 1 121,52 121,52 121,52 121,52 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-19 1 1 121,53 121,53 121,53 121,53 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-20 1 1 121,54 121,54 121,54 121,54 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-21 1 1 121,55 121,55 121,55 121,55 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-24 1 1 121,56 121,56 121,56 121,56 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-25 1 1 121,56 121,56 121,56 121,56 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-26 1 1 121,58 121,58 121,58 121,58 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-27 1 1 121,59 121,59 121,59 121,59 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-28 1 1 121,6 121,6 121,6 121,6 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-01-31 1 1 121,61 121,61 121,61 121,61 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-01 1 1 121,62 121,62 121,62 121,62 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-02 1 1 121,63 121,63 121,63 121,63 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-03 1 1 121,63 121,63 121,63 121,63 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-04 1 1 121,64 121,64 121,64 121,64 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-07 1 1 121,65 121,65 121,65 121,65 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-08 1 1 121,66 121,66 121,66 121,66 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-09 1 1 121,66 121,66 121,66 121,66 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-10 1 1 121,67 121,67 121,67 121,67 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-11 1 1 121,68 121,68 121,68 121,68 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-14 1 1 121,69 121,69 121,69 121,69 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-15 1 1 121,71 121,71 121,71 121,71 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-16 1 1 121,71 121,71 121,71 121,71 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-17 1 1 121,71 121,71 121,71 121,71 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-18 1 1 121,73 121,73 121,73 121,73 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-21 1 1 121,73 121,73 121,73 121,73 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-22 1 1 121,75 121,75 121,75 121,75 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-23 1 1 121,75 121,75 121,75 121,75 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-24 1 1 121,75 121,75 121,75 121,75 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-25 1 1 121,76 121,76 121,76 121,76 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-02-28 1 1 121,76 121,76 121,76 121,76 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-01 1 1 121,77 121,77 121,77 121,77 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-02 1 1 121,79 121,79 121,79 121,79 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-03 1 1 121,79 121,79 121,79 121,79 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-04 1 1 121,8 121,8 121,8 121,8 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-07 1 1 121,81 121,81 121,81 121,81 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-08 1 1 121,82 121,82 121,82 121,82 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-09 1 1 121,83 121,83 121,83 121,83 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-10 1 1 121,84 121,84 121,84 121,84 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-11 1 1 121,85 121,85 121,85 121,85 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-14 1 1 121,85 121,85 121,85 121,85 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-15 1 1 121,87 121,87 121,87 121,87 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-16 1 1 121,88 121,88 121,88 121,88 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-17 1 1 121,88 121,88 121,88 121,88 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-18 1 1 121,87 121,87 121,87 121,87 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-21 1 1 121,87 121,87 121,87 121,87 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-22 1 1 121,88 121,88 121,88 121,88 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-23 1 1 121,88 121,88 121,88 121,88 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-24 1 1 121,89 121,89 121,89 121,89 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-29 1 1 121,93 121,93 121,93 121,93 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-30 1 1 121,93 121,93 121,93 121,93 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-03-31 1 1 121,94 121,94 121,94 121,94 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-01 1 1 121,95 121,95 121,95 121,95 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-04 1 1 121,96 121,96 121,96 121,96 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-05 1 1 121,96 121,96 121,96 121,96 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-06 1 1 121,97 121,97 121,97 121,97 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-07 1 1 121,97 121,97 121,97 121,97 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-08 1 1 121,98 121,98 121,98 121,98 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-11 1 1 121,99 121,99 121,99 121,99 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-12 1 1 122,01 122,01 122,01 122,01 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-13 1 1 122,02 122,02 122,02 122,02 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-14 1 1 122,02 122,02 122,02 122,02 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-15 1 1 122,03 122,03 122,03 122,03 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-18 1 1 122,04 122,04 122,04 122,04 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-19 1 1 122,06 122,06 122,06 122,06 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-20 1 1 122,07 122,07 122,07 122,07 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-21 1 1 122,07 122,07 122,07 122,07 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-22 1 1 122,08 122,08 122,08 122,08 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-25 1 1 122,09 122,09 122,09 122,09 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-26 1 1 122,11 122,11 122,11 122,11 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-27 1 1 122,12 122,12 122,12 122,12 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-28 1 1 122,12 122,12 122,12 122,12 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-04-29 1 1 122,16 122,16 122,16 122,16 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-02 1 1 122,17 122,17 122,17 122,17 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-03 1 1 122,18 122,18 122,18 122,18 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-04 1 1 122,2 122,2 122,2 122,2 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-06 1 1 122,21 122,21 122,21 122,21 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-09 1 1 122,22 122,22 122,22 122,22 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-10 1 1 122,23 122,23 122,23 122,23 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-11 1 1 122,25 122,25 122,25 122,25 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-12 1 1 122,26 122,26 122,26 122,26 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-13 1 1 122,26 122,26 122,26 122,26 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-17 1 1 122,29 122,29 122,29 122,29 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-18 1 1 122,3 122,3 122,3 122,3 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-19 1 1 122,31 122,31 122,31 122,31 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-20 1 1 122,32 122,32 122,32 122,32 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-23 1 1 122,32 122,32 122,32 122,32 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-24 1 1 122,34 122,34 122,34 122,34 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-25 1 1 122,34 122,34 122,34 122,34 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-26 1 1 122,35 122,35 122,35 122,35 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-27 1 1 122,35 122,35 122,35 122,35 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-30 1 1 122,35 122,35 122,35 122,35 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-05-31 1 1 122,36 122,36 122,36 122,36 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-01 1 1 122,37 122,37 122,37 122,37 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-02 1 1 122,39 122,39 122,39 122,39 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-03 1 1 122,41 122,41 122,41 122,41 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-07 1 1 122,45 122,45 122,45 122,45 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-08 1 1 122,45 122,45 122,45 122,45 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-09 1 1 122,51 122,51 122,51 122,51 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-10 1 1 122,53 122,53 122,53 122,53 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-13 1 1 122,54 122,54 122,54 122,54 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-14 1 1 122,57 122,57 122,57 122,57 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-15 1 1 122,56 122,56 122,56 122,56 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-16 1 1 122,56 122,56 122,56 122,56 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-17 1 1 122,58 122,58 122,58 122,58 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-20 1 1 122,59 122,59 122,59 122,59 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-21 1 1 122,61 122,61 122,61 122,61 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-22 1 1 122,67 122,67 122,67 122,67 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-23 1 1 122,67 122,67 122,67 122,67 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-27 1 1 122,7 122,7 122,7 122,7 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-28 1 1 122,72 122,72 122,72 122,72 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-29 1 1 122,71 122,71 122,71 122,71 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-06-30 1 1 122,7 122,7 122,7 122,7 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-01 1 1 122,71 122,71 122,71 122,71 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-04 1 1 122,72 122,72 122,72 122,72 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-05 1 1 122,73 122,73 122,73 122,73 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-06 1 1 122,72 122,72 122,72 122,72 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-07 1 1 122,73 122,73 122,73 122,73 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-08 1 1 122,74 122,74 122,74 122,74 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-11 1 1 122,75 122,75 122,75 122,75 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-12 1 1 122,76 122,76 122,76 122,76 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-13 1 1 122,76 122,76 122,76 122,76 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-14 1 1 122,76 122,76 122,76 122,76 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-15 1 1 122,77 122,77 122,77 122,77 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-18 1 1 122,77 122,77 122,77 122,77 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-19 1 1 122,78 122,78 122,78 122,78 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-20 1 1 122,79 122,79 122,79 122,79 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-21 1 1 122,79 122,79 122,79 122,79 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-22 1 1 122,81 122,81 122,81 122,81 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-25 1 1 122,8 122,8 122,8 122,8 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-26 1 1 122,82 122,82 122,82 122,82 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-27 1 1 122,82 122,82 122,82 122,82 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-28 1 1 122,82 122,82 122,82 122,82 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-07-29 1 1 122,82 122,82 122,82 122,82 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-01 1 1 122,82 122,82 122,82 122,82 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-02 1 1 122,81 122,81 122,81 122,81 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-03 1 1 122,81 122,81 122,81 122,81 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-04 1 1 122,8 122,8 122,8 122,8 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-05 1 1 122,82 122,82 122,82 122,82 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-08 1 1 122,82 122,82 122,82 122,82 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-09 1 1 122,82 122,82 122,82 122,82 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-10 1 1 122,83 122,83 122,83 122,83 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-11 1 1 122,83 122,83 122,83 122,83 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-12 1 1 122,84 122,84 122,84 122,84 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-15 1 1 122,84 122,84 122,84 122,84 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-16 1 1 122,86 122,86 122,86 122,86 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-17 1 1 122,85 122,85 122,85 122,85 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-18 1 1 122,85 122,85 122,85 122,85 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-19 1 1 122,86 122,86 122,86 122,86 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-22 1 1 122,87 122,87 122,87 122,87 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-23 1 1 122,88 122,88 122,88 122,88 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-24 1 1 122,89 122,89 122,89 122,89 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-25 1 1 122,88 122,88 122,88 122,88 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-26 1 1 122,89 122,89 122,89 122,89 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-29 1 1 122,89 122,89 122,89 122,89 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-30 1 1 122,88 122,88 122,88 122,88 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-08-31 1 1 122,9 122,9 122,9 122,9 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-01 1 1 122,91 122,91 122,91 122,91 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-02 1 1 122,92 122,92 122,92 122,92 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-05 1 1 122,94 122,94 122,94 122,94 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-06 1 1 122,95 122,95 122,95 122,95 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-07 1 1 122,95 122,95 122,95 122,95 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-08 1 1 122,95 122,95 122,95 122,95 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-09 1 1 122,96 122,96 122,96 122,96 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-12 1 1 122,97 122,97 122,97 122,97 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-13 1 1 122,97 122,97 122,97 122,97 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-14 1 1 122,97 122,97 122,97 122,97 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-15 1 1 122,97 122,97 122,97 122,97 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-16 1 1 122,98 122,98 122,98 122,98 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-19 1 1 122,97 122,97 122,97 122,97 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-20 1 1 122,99 122,99 122,99 122,99 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-21 1 1 123 123 123 123 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-22 1 1 123 123 123 123 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-23 1 1 123,01 123,01 123,01 123,01 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-26 1 1 123,01 123,01 123,01 123,01 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-27 1 1 123,02 123,02 123,02 123,02 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-28 1 1 123,02 123,02 123,02 123,02 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-29 1 1 123,02 123,02 123,02 123,02 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-09-30 1 1 123,02 123,02 123,02 123,02 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-03 1 1 123,01 123,01 123,01 123,01 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-04 1 1 123,02 123,02 123,02 123,02 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-05 1 1 123,02 123,02 123,02 123,02 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-06 1 1 123,02 123,02 123,02 123,02 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-07 1 1 123,03 123,03 123,03 123,03 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-10 1 1 123,03 123,03 123,03 123,03 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-11 1 1 123,04 123,04 123,04 123,04 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-12 1 1 123,04 123,04 123,04 123,04 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-13 1 1 123,04 123,04 123,04 123,04 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-14 1 1 123,15 123,15 123,15 123,15 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-17 1 1 123,06 123,06 123,06 123,06 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-18 1 1 123,07 123,07 123,07 123,07 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-19 1 1 123,08 123,08 123,08 123,08 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-20 1 1 123,09 123,09 123,09 123,09 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-21 1 1 123,1 123,1 123,1 123,1 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-24 1 1 123,11 123,11 123,11 123,11 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-25 1 1 123,12 123,12 123,12 123,12 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-26 1 1 123,12 123,12 123,12 123,12 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-27 1 1 123,12 123,12 123,12 123,12 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-28 1 1 123,12 123,12 123,12 123,12 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-10-31 1 1 123,12 123,12 123,12 123,12 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-01 1 1 123,12 123,12 123,12 123,12 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-02 1 1 123,13 123,13 123,13 123,13 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-03 1 1 123,13 123,13 123,13 123,13 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-04 1 1 123,14 123,14 123,14 123,14 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-07 1 1 123,14 123,14 123,14 123,14 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-08 1 1 123,14 123,14 123,14 123,14 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-09 1 1 123,15 123,15 123,15 123,15 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-10 1 1 123,15 123,15 123,15 123,15 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-11 1 1 123,15 123,15 123,15 123,15 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-14 1 1 123,16 123,16 123,16 123,16 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-15 1 1 123,18 123,18 123,18 123,18 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-16 1 1 123,17 123,17 123,17 123,17 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-17 1 1 123,18 123,18 123,18 123,18 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-18 1 1 123,18 123,18 123,18 123,18 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-21 1 1 123,18 123,18 123,18 123,18 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-22 1 1 123,19 123,19 123,19 123,19 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-23 1 1 123,2 123,2 123,2 123,2 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-24 1 1 123,2 123,2 123,2 123,2 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-25 1 1 123,21 123,21 123,21 123,21 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-28 1 1 123,21 123,21 123,21 123,21 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-29 1 1 123,22 123,22 123,22 123,22 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-11-30 1 1 123,23 123,23 123,23 123,23 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-01 1 1 123,22 123,22 123,22 123,22 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-02 1 1 123,23 123,23 123,23 123,23 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-05 1 1 123,22 123,22 123,22 123,22 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-06 1 1 123,23 123,23 123,23 123,23 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-07 1 1 123,22 123,22 123,22 123,22 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-08 1 1 123,23 123,23 123,23 123,23 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-12 1 1 123,24 123,24 123,24 123,24 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-13 1 1 123,25 123,25 123,25 123,25 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-14 1 1 123,25 123,25 123,25 123,25 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-15 1 1 123,23 123,23 123,23 123,23 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-16 1 1 123,26 123,26 123,26 123,26 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-19 1 1 123,26 123,26 123,26 123,26 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-20 1 1 123,28 123,28 123,28 123,28 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-21 1 1 123,29 123,29 123,29 123,29 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-22 1 1 123,28 123,28 123,28 123,28 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-23 1 1 123,29 123,29 123,29 123,29 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-27 1 1 123,29 123,29 123,29 123,29 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-28 1 1 123,31 123,31 123,31 123,31 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-29 1 1 123,32 123,32 123,32 123,32 718205 Handelsbanken Fonder AB Lux Ränta (Svenska Selection Fund Swedish Short Term Assets) SEK 2005-12-30 1 1 123,32 123,32 123,32 123,32 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-03 1 1 57,9643 57,9643 57,9643 57,9643 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-04 1 1 58,2467 58,2467 58,2467 58,2467 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-05 1 1 57,8996 57,8996 57,8996 57,8996 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-07 1 1 57,7201 57,7201 57,7201 57,7201 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-10 1 1 58,0999 58,0999 58,0999 58,0999 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-11 1 1 58,046 58,046 58,046 58,046 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-12 1 1 57,6828 57,6828 57,6828 57,6828 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-13 1 1 58,2781 58,2781 58,2781 58,2781 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-14 1 1 58,8941 58,8941 58,8941 58,8941 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-17 1 1 60,1708 60,1708 60,1708 60,1708 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-18 1 1 60,028 60,028 60,028 60,028 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-19 1 1 60,053 60,053 60,053 60,053 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-20 1 1 59,8579 59,8579 59,8579 59,8579 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-21 1 1 59,5907 59,5907 59,5907 59,5907 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-24 1 1 59,1755 59,1755 59,1755 59,1755 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-25 1 1 59,8188 59,8188 59,8188 59,8188 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-26 1 1 60,2378 60,2378 60,2378 60,2378 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-27 1 1 60,2628 60,2628 60,2628 60,2628 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-28 1 1 60,5629 60,5629 60,5629 60,5629 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-01-31 1 1 60,9314 60,9314 60,9314 60,9314 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-01 1 1 60,5745 60,5745 60,5745 60,5745 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-02 1 1 60,6238 60,6238 60,6238 60,6238 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-03 1 1 61,1352 61,1352 61,1352 61,1352 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-04 1 1 61,4093 61,4093 61,4093 61,4093 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-07 1 1 62,6484 62,6484 62,6484 62,6484 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-08 1 1 63,0757 63,0757 63,0757 63,0757 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-09 1 1 62,6652 62,6652 62,6652 62,6652 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-10 1 1 62,2196 62,2196 62,2196 62,2196 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-11 1 1 62,3898 62,3898 62,3898 62,3898 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-14 1 1 62,9408 62,9408 62,9408 62,9408 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-15 1 1 62,9074 62,9074 62,9074 62,9074 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-16 1 1 62,7759 62,7759 62,7759 62,7759 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-17 1 1 62,4904 62,4904 62,4904 62,4904 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-18 1 1 62,9521 62,9521 62,9521 62,9521 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-21 1 1 63,3596 63,3596 63,3596 63,3596 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-22 1 1 62,5459 62,5459 62,5459 62,5459 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-23 1 1 62,1362 62,1362 62,1362 62,1362 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-24 1 1 62,5525 62,5525 62,5525 62,5525 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-25 1 1 63,0695 63,0695 63,0695 63,0695 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-02-28 1 1 63,1439 63,1439 63,1439 63,1439 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-01 1 1 63,479 63,479 63,479 63,479 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-02 1 1 63,2952 63,2952 63,2952 63,2952 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-03 1 1 63,1289 63,1289 63,1289 63,1289 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-04 1 1 62,317 62,317 62,317 62,317 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-07 1 1 62,5862 62,5862 62,5862 62,5862 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-08 1 1 61,9979 61,9979 61,9979 61,9979 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-09 1 1 62,2719 62,2719 62,2719 62,2719 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-10 1 1 61,7363 61,7363 61,7363 61,7363 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-11 1 1 61,1608 61,1608 61,1608 61,1608 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-14 1 1 61,541 61,541 61,541 61,541 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-15 1 1 60,6655 60,6655 60,6655 60,6655 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-16 1 1 60,588 60,588 60,588 60,588 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-17 1 1 60,5774 60,5774 60,5774 60,5774 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-18 1 1 61,0447 61,0447 61,0447 61,0447 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-21 1 1 61,6144 61,6144 61,6144 61,6144 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-22 1 1 61,1015 61,1015 61,1015 61,1015 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-23 1 1 61,2198 61,2198 61,2198 61,2198 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-24 1 1 60,8303 60,8303 60,8303 60,8303 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-29 1 1 60,6617 60,6617 60,6617 60,6617 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-30 1 1 60,1564 60,1564 60,1564 60,1564 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-03-31 1 1 60,9008 60,9008 60,9008 60,9008 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-01 1 1 61,849 61,849 61,849 61,849 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-04 1 1 62,4288 62,4288 62,4288 62,4288 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-05 1 1 62,336 62,336 62,336 62,336 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-06 1 1 62,2448 62,2448 62,2448 62,2448 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-07 1 1 62,1021 62,1021 62,1021 62,1021 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-08 1 1 62,8306 62,8306 62,8306 62,8306 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-11 1 1 62,1299 62,1299 62,1299 62,1299 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-12 1 1 62,4111 62,4111 62,4111 62,4111 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-13 1 1 62,7435 62,7435 62,7435 62,7435 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-14 1 1 62,5989 62,5989 62,5989 62,5989 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-15 1 1 61,4656 61,4656 61,4656 61,4656 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-18 1 1 59,6262 59,6262 59,6262 59,6262 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-19 1 1 60,1283 60,1283 60,1283 60,1283 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-20 1 1 59,964 59,964 59,964 59,964 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-21 1 1 60,0942 60,0942 60,0942 60,0942 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-22 1 1 60,3874 60,3874 60,3874 60,3874 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-25 1 1 60,8728 60,8728 60,8728 60,8728 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-26 1 1 61,0848 61,0848 61,0848 61,0848 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-27 1 1 60,7533 60,7533 60,7533 60,7533 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-28 1 1 61,0046 61,0046 61,0046 61,0046 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-04-29 1 1 60,9837 60,9837 60,9837 60,9837 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-02 1 1 61,516 61,516 61,516 61,516 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-03 1 1 61,5133 61,5133 61,5133 61,5133 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-04 1 1 61,5107 61,5107 61,5107 61,5107 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-06 1 1 62,9431 62,9431 62,9431 62,9431 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-09 1 1 62,9049 62,9049 62,9049 62,9049 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-10 1 1 62,7578 62,7578 62,7578 62,7578 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-11 1 1 62,6851 62,6851 62,6851 62,6851 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-12 1 1 63,1875 63,1875 63,1875 63,1875 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-13 1 1 63,5634 63,5634 63,5634 63,5634 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-16 1 1 63,2659 63,2659 63,2659 63,2659 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-17 1 1 62,9018 62,9018 62,9018 62,9018 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-18 1 1 62,9381 62,9381 62,9381 62,9381 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-19 1 1 63,6305 63,6305 63,6305 63,6305 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-20 1 1 63,6885 63,6885 63,6885 63,6885 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-23 1 1 63,407 63,407 63,407 63,407 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-24 1 1 63,5707 63,5707 63,5707 63,5707 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-25 1 1 62,9209 62,9209 62,9209 62,9209 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-26 1 1 63,4615 63,4615 63,4615 63,4615 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-27 1 1 64,1353 64,1353 64,1353 64,1353 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-30 1 1 64,8117 64,8117 64,8117 64,8117 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-05-31 1 1 64,9982 64,9982 64,9982 64,9982 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-01 1 1 65,1983 65,1983 65,1983 65,1983 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-02 1 1 65,3293 65,3293 65,3293 65,3293 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-03 1 1 65,6297 65,6297 65,6297 65,6297 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-07 1 1 65,9235 65,9235 65,9235 65,9235 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-08 1 1 66,2167 66,2167 66,2167 66,2167 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-09 1 1 66,7076 66,7076 66,7076 66,7076 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-10 1 1 67,6571 67,6571 67,6571 67,6571 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-13 1 1 68,7492 68,7492 68,7492 68,7492 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-14 1 1 68,5302 68,5302 68,5302 68,5302 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-15 1 1 68,4901 68,4901 68,4901 68,4901 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-16 1 1 68,4392 68,4392 68,4392 68,4392 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-17 1 1 68,0958 68,0958 68,0958 68,0958 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-20 1 1 68,2811 68,2811 68,2811 68,2811 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-21 1 1 68,1623 68,1623 68,1623 68,1623 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-22 1 1 68,7338 68,7338 68,7338 68,7338 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-23 1 1 70,3724 70,3724 70,3724 70,3724 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-27 1 1 69,035 69,035 69,035 69,035 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-28 1 1 69,6651 69,6651 69,6651 69,6651 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-29 1 1 69,8743 69,8743 69,8743 69,8743 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-06-30 1 1 69,6868 69,6868 69,6868 69,6868 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-01 1 1 70,2195 70,2195 70,2195 70,2195 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-04 1 1 70,7266 70,7266 70,7266 70,7266 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-05 1 1 69,9212 69,9212 69,9212 69,9212 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-06 1 1 69,76 69,76 69,76 69,76 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-07 1 1 69,7977 69,7977 69,7977 69,7977 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-08 1 1 69,4236 69,4236 69,4236 69,4236 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-11 1 1 70,9514 70,9514 70,9514 70,9514 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-12 1 1 70,2666 70,2666 70,2666 70,2666 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-13 1 1 70,6496 70,6496 70,6496 70,6496 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-14 1 1 71,621 71,621 71,621 71,621 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-15 1 1 71,5031 71,5031 71,5031 71,5031 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-18 1 1 71,7734 71,7734 71,7734 71,7734 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-19 1 1 72,89 72,89 72,89 72,89 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-20 1 1 72,4201 72,4201 72,4201 72,4201 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-21 1 1 72,5707 72,5707 72,5707 72,5707 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-22 1 1 73,1001 73,1001 73,1001 73,1001 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-25 1 1 73,4377 73,4377 73,4377 73,4377 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-26 1 1 73,7009 73,7009 73,7009 73,7009 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-27 1 1 73,4457 73,4457 73,4457 73,4457 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-28 1 1 73,4283 73,4283 73,4283 73,4283 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-07-29 1 1 73,6565 73,6565 73,6565 73,6565 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-01 1 1 73,1996 73,1996 73,1996 73,1996 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-02 1 1 73,8927 73,8927 73,8927 73,8927 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-03 1 1 73,7623 73,7623 73,7623 73,7623 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-04 1 1 72,9928 72,9928 72,9928 72,9928 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-05 1 1 72,3407 72,3407 72,3407 72,3407 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-08 1 1 72,0422 72,0422 72,0422 72,0422 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-09 1 1 72,3497 72,3497 72,3497 72,3497 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-10 1 1 72,5173 72,5173 72,5173 72,5173 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-11 1 1 72,454 72,454 72,454 72,454 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-12 1 1 72,4508 72,4508 72,4508 72,4508 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-15 1 1 72,2828 72,2828 72,2828 72,2828 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-16 1 1 72,3015 72,3015 72,3015 72,3015 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-17 1 1 72,4505 72,4505 72,4505 72,4505 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-18 1 1 72,0453 72,0453 72,0453 72,0453 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-19 1 1 71,7492 71,7492 71,7492 71,7492 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-22 1 1 72,3461 72,3461 72,3461 72,3461 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-23 1 1 71,9748 71,9748 71,9748 71,9748 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-24 1 1 70,6828 70,6828 70,6828 70,6828 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-25 1 1 70,4651 70,4651 70,4651 70,4651 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-26 1 1 70,1577 70,1577 70,1577 70,1577 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-29 1 1 68,9808 68,9808 68,9808 68,9808 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-30 1 1 69,6982 69,6982 69,6982 69,6982 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-08-31 1 1 69,4682 69,4682 69,4682 69,4682 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-01 1 1 69,5463 69,5463 69,5463 69,5463 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-02 1 1 69,4709 69,4709 69,4709 69,4709 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-05 1 1 69,6377 69,6377 69,6377 69,6377 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-06 1 1 70,2548 70,2548 70,2548 70,2548 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-07 1 1 70,8556 70,8556 70,8556 70,8556 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-08 1 1 71,1734 71,1734 71,1734 71,1734 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-09 1 1 71,345 71,345 71,345 71,345 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-12 1 1 72,3711 72,3711 72,3711 72,3711 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-13 1 1 72,4827 72,4827 72,4827 72,4827 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-14 1 1 72,4276 72,4276 72,4276 72,4276 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-15 1 1 72,777 72,777 72,777 72,777 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-16 1 1 72,3553 72,3553 72,3553 72,3553 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-19 1 1 72,7163 72,7163 72,7163 72,7163 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-20 1 1 73,5004 73,5004 73,5004 73,5004 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-21 1 1 73,0419 73,0419 73,0419 73,0419 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-22 1 1 72,9511 72,9511 72,9511 72,9511 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-23 1 1 72,7825 72,7825 72,7825 72,7825 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-26 1 1 73,7545 73,7545 73,7545 73,7545 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-27 1 1 73,9886 73,9886 73,9886 73,9886 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-28 1 1 74,1245 74,1245 74,1245 74,1245 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-29 1 1 74,5224 74,5224 74,5224 74,5224 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-09-30 1 1 74,4072 74,4072 74,4072 74,4072 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-03 1 1 75,0271 75,0271 75,0271 75,0271 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-04 1 1 75,4981 75,4981 75,4981 75,4981 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-05 1 1 74,7866 74,7866 74,7866 74,7866 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-06 1 1 72,5431 72,5431 72,5431 72,5431 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-07 1 1 72,8293 72,8293 72,8293 72,8293 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-10 1 1 73,8343 73,8343 73,8343 73,8343 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-11 1 1 74,2735 74,2735 74,2735 74,2735 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-12 1 1 72,7797 72,7797 72,7797 72,7797 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-13 1 1 72,9615 72,9615 72,9615 72,9615 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-14 1 1 72,2987 72,2987 72,2987 72,2987 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-17 1 1 71,7558 71,7558 71,7558 71,7558 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-18 1 1 72,6323 72,6323 72,6323 72,6323 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-19 1 1 70,7175 70,7175 70,7175 70,7175 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-20 1 1 71,2921 71,2921 71,2921 71,2921 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-21 1 1 71,3117 71,3117 71,3117 71,3117 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-24 1 1 71,6644 71,6644 71,6644 71,6644 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-25 1 1 70,7235 70,7235 70,7235 70,7235 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-26 1 1 70,8625 70,8625 70,8625 70,8625 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-27 1 1 70,0744 70,0744 70,0744 70,0744 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-28 1 1 69,3908 69,3908 69,3908 69,3908 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-10-31 1 1 71,4868 71,4868 71,4868 71,4868 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-01 1 1 72,976 72,976 72,976 72,976 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-02 1 1 73,8436 73,8436 73,8436 73,8436 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-03 1 1 74,3279 74,3279 74,3279 74,3279 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-04 1 1 74,9863 74,9863 74,9863 74,9863 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-07 1 1 74,8933 74,8933 74,8933 74,8933 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-08 1 1 74,2631 74,2631 74,2631 74,2631 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-09 1 1 75,5388 75,5388 75,5388 75,5388 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-10 1 1 75,6556 75,6556 75,6556 75,6556 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-11 1 1 76,3187 76,3187 76,3187 76,3187 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-14 1 1 76,4547 76,4547 76,4547 76,4547 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-15 1 1 76,8224 76,8224 76,8224 76,8224 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-16 1 1 76,9786 76,9786 76,9786 76,9786 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-17 1 1 76,6573 76,6573 76,6573 76,6573 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-18 1 1 77,1699 77,1699 77,1699 77,1699 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-21 1 1 76,4111 76,4111 76,4111 76,4111 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-22 1 1 75,7522 75,7522 75,7522 75,7522 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-23 1 1 76,4519 76,4519 76,4519 76,4519 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-24 1 1 76,547 76,547 76,547 76,547 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-25 1 1 76,3996 76,3996 76,3996 76,3996 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-28 1 1 76,576 76,576 76,576 76,576 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-29 1 1 76,2545 76,2545 76,2545 76,2545 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-11-30 1 1 77,2646 77,2646 77,2646 77,2646 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-01 1 1 77,5733 77,5733 77,5733 77,5733 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-02 1 1 77,8975 77,8975 77,8975 77,8975 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-05 1 1 78,1074 78,1074 78,1074 78,1074 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-06 1 1 77,9675 77,9675 77,9675 77,9675 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-07 1 1 79,1708 79,1708 79,1708 79,1708 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-08 1 1 78,3496 78,3496 78,3496 78,3496 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-12 1 1 77,6542 77,6542 77,6542 77,6542 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-13 1 1 78,0345 78,0345 78,0345 78,0345 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-14 1 1 77,4402 77,4402 77,4402 77,4402 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-15 1 1 77,6333 77,6333 77,6333 77,6333 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-16 1 1 77,2748 77,2748 77,2748 77,2748 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-19 1 1 78,0828 78,0828 78,0828 78,0828 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-20 1 1 78,4262 78,4262 78,4262 78,4262 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-21 1 1 79,6874 79,6874 79,6874 79,6874 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-22 1 1 79,2957 79,2957 79,2957 79,2957 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-23 1 1 80,3649 80,3649 80,3649 80,3649 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-27 1 1 80,8235 80,8235 80,8235 80,8235 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-28 1 1 79,8482 79,8482 79,8482 79,8482 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-29 1 1 80,7143 80,7143 80,7143 80,7143 385401 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Asienfond SEK 2005-12-30 1 1 80,6654 80,6654 80,6654 80,6654 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-03 1 1 297,8325 297,8325 297,8325 297,8325 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-04 1 1 300,0477 300,0477 300,0477 300,0477 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-05 1 1 298,9336 298,9336 298,9336 298,9336 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-07 1 1 300,9257 300,9257 300,9257 300,9257 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-10 1 1 301,5766 301,5766 301,5766 301,5766 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-11 1 1 299,2215 299,2215 299,2215 299,2215 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-12 1 1 297,8988 297,8988 297,8988 297,8988 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-13 1 1 298,0175 298,0175 298,0175 298,0175 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-14 1 1 299,0241 299,0241 299,0241 299,0241 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-17 1 1 300,2232 300,2232 300,2232 300,2232 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-18 1 1 298,2183 298,2183 298,2183 298,2183 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-19 1 1 300,3884 300,3884 300,3884 300,3884 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-20 1 1 298,3116 298,3116 298,3116 298,3116 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-21 1 1 298,0486 298,0486 298,0486 298,0486 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-24 1 1 297,4945 297,4945 297,4945 297,4945 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-25 1 1 300,517 300,517 300,517 300,517 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-26 1 1 301,6613 301,6613 301,6613 301,6613 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-27 1 1 301,5425 301,5425 301,5425 301,5425 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-28 1 1 302,7088 302,7088 302,7088 302,7088 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-01-31 1 1 303,7627 303,7627 303,7627 303,7627 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-01 1 1 304,7782 304,7782 304,7782 304,7782 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-02 1 1 305,736 305,736 305,736 305,736 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-03 1 1 304,9633 304,9633 304,9633 304,9633 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-04 1 1 307,4868 307,4868 307,4868 307,4868 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-07 1 1 309,755 309,755 309,755 309,755 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-08 1 1 309,6752 309,6752 309,6752 309,6752 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-09 1 1 309,5299 309,5299 309,5299 309,5299 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-10 1 1 310,2549 310,2549 310,2549 310,2549 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-11 1 1 311,3413 311,3413 311,3413 311,3413 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-14 1 1 312,5493 312,5493 312,5493 312,5493 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-15 1 1 313,9221 313,9221 313,9221 313,9221 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-16 1 1 312,6893 312,6893 312,6893 312,6893 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-17 1 1 315,8478 315,8478 315,8478 315,8478 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-18 1 1 316,0855 316,0855 316,0855 316,0855 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-21 1 1 315,7496 315,7496 315,7496 315,7496 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-22 1 1 312,1798 312,1798 312,1798 312,1798 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-23 1 1 310,9592 310,9592 310,9592 310,9592 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-24 1 1 311,0654 311,0654 311,0654 311,0654 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-25 1 1 313,1862 313,1862 313,1862 313,1862 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-02-28 1 1 316,0551 316,0551 316,0551 316,0551 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-01 1 1 316,4648 316,4648 316,4648 316,4648 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-02 1 1 316,4385 316,4385 316,4385 316,4385 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-03 1 1 316,8883 316,8883 316,8883 316,8883 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-04 1 1 318,2366 318,2366 318,2366 318,2366 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-07 1 1 317,6593 317,6593 317,6593 317,6593 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-08 1 1 316,5526 316,5526 316,5526 316,5526 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-09 1 1 315,1779 315,1779 315,1779 315,1779 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-10 1 1 313,6941 313,6941 313,6941 313,6941 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-11 1 1 308,1624 308,1624 308,1624 308,1624 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-14 1 1 307,9978 307,9978 307,9978 307,9978 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-15 1 1 310,4767 310,4767 310,4767 310,4767 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-16 1 1 308,0431 308,0431 308,0431 308,0431 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-17 1 1 307,0608 307,0608 307,0608 307,0608 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-18 1 1 308,6583 308,6583 308,6583 308,6583 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-21 1 1 308,033 308,033 308,033 308,033 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-22 1 1 306,8267 306,8267 306,8267 306,8267 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-23 1 1 305,4626 305,4626 305,4626 305,4626 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-24 1 1 306,6676 306,6676 306,6676 306,6676 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-29 1 1 307,3776 307,3776 307,3776 307,3776 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-30 1 1 305,9593 305,9593 305,9593 305,9593 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-03-31 1 1 308,6893 308,6893 308,6893 308,6893 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-01 1 1 311,3208 311,3208 311,3208 311,3208 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-04 1 1 309,331 309,331 309,331 309,331 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-05 1 1 312,0214 312,0214 312,0214 312,0214 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-06 1 1 311,7629 311,7629 311,7629 311,7629 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-07 1 1 312,5506 312,5506 312,5506 312,5506 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-08 1 1 313,3113 313,3113 313,3113 313,3113 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-11 1 1 313,0539 313,0539 313,0539 313,0539 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-12 1 1 312,0539 312,0539 312,0539 312,0539 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-13 1 1 312,4551 312,4551 312,4551 312,4551 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-14 1 1 312,6475 312,6475 312,6475 312,6475 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-15 1 1 308,0406 308,0406 308,0406 308,0406 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-18 1 1 301,2503 301,2503 301,2503 301,2503 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-19 1 1 304,1277 304,1277 304,1277 304,1277 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-20 1 1 302,3732 302,3732 302,3732 302,3732 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-21 1 1 302,1703 302,1703 302,1703 302,1703 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-22 1 1 302,321 302,321 302,321 302,321 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-25 1 1 303,4764 303,4764 303,4764 303,4764 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-26 1 1 301,2608 301,2608 301,2608 301,2608 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-27 1 1 297,4356 297,4356 297,4356 297,4356 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-28 1 1 297,4515 297,4515 297,4515 297,4515 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-04-29 1 1 299,1782 299,1782 299,1782 299,1782 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-02 1 1 301,8452 301,8452 301,8452 301,8452 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-03 1 1 303,3812 303,3812 303,3812 303,3812 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-04 1 1 302,4976 302,4976 302,4976 302,4976 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-06 1 1 306,4992 306,4992 306,4992 306,4992 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-09 1 1 305,5714 305,5714 305,5714 305,5714 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-10 1 1 305,4029 305,4029 305,4029 305,4029 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-11 1 1 304,7917 304,7917 304,7917 304,7917 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-12 1 1 305,9058 305,9058 305,9058 305,9058 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-13 1 1 303,9365 303,9365 303,9365 303,9365 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-16 1 1 302,8672 302,8672 302,8672 302,8672 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-17 1 1 302,5606 302,5606 302,5606 302,5606 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-18 1 1 305,8476 305,8476 305,8476 305,8476 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-19 1 1 308,0206 308,0206 308,0206 308,0206 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-20 1 1 307,4683 307,4683 307,4683 307,4683 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-23 1 1 307,8193 307,8193 307,8193 307,8193 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-24 1 1 307,4492 307,4492 307,4492 307,4492 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-25 1 1 307,1689 307,1689 307,1689 307,1689 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-26 1 1 309,2889 309,2889 309,2889 309,2889 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-27 1 1 308,955 308,955 308,955 308,955 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-30 1 1 310,4246 310,4246 310,4246 310,4246 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-05-31 1 1 310,3313 310,3313 310,3313 310,3313 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-01 1 1 312,7445 312,7445 312,7445 312,7445 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-02 1 1 313,4994 313,4994 313,4994 313,4994 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-03 1 1 312,3465 312,3465 312,3465 312,3465 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-07 1 1 314,2584 314,2584 314,2584 314,2584 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-08 1 1 315,1682 315,1682 315,1682 315,1682 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-09 1 1 314,2873 314,2873 314,2873 314,2873 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-10 1 1 318,6197 318,6197 318,6197 318,6197 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-13 1 1 320,3861 320,3861 320,3861 320,3861 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-14 1 1 322,7866 322,7866 322,7866 322,7866 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-15 1 1 322,7804 322,7804 322,7804 322,7804 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-16 1 1 323,7051 323,7051 323,7051 323,7051 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-17 1 1 324,5462 324,5462 324,5462 324,5462 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-20 1 1 323,018 323,018 323,018 323,018 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-21 1 1 324,2427 324,2427 324,2427 324,2427 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-22 1 1 327,5365 327,5365 327,5365 327,5365 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-23 1 1 331,1845 331,1845 331,1845 331,1845 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-27 1 1 326,5254 326,5254 326,5254 326,5254 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-28 1 1 329,8203 329,8203 329,8203 329,8203 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-29 1 1 332,8631 332,8631 332,8631 332,8631 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-06-30 1 1 333,7641 333,7641 333,7641 333,7641 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-01 1 1 334,8338 334,8338 334,8338 334,8338 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-04 1 1 335,7109 335,7109 335,7109 335,7109 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-05 1 1 333,714 333,714 333,714 333,714 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-06 1 1 334,987 334,987 334,987 334,987 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-07 1 1 329,7906 329,7906 329,7906 329,7906 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-08 1 1 333,4773 333,4773 333,4773 333,4773 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-11 1 1 336,6235 336,6235 336,6235 336,6235 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-12 1 1 333,8285 333,8285 333,8285 333,8285 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-13 1 1 334,0074 334,0074 334,0074 334,0074 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-14 1 1 337,4043 337,4043 337,4043 337,4043 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-15 1 1 335,4368 335,4368 335,4368 335,4368 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-18 1 1 334,6872 334,6872 334,6872 334,6872 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-19 1 1 337,1304 337,1304 337,1304 337,1304 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-20 1 1 335,0006 335,0006 335,0006 335,0006 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-21 1 1 336,17 336,17 336,17 336,17 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-22 1 1 335,62 335,62 335,62 335,62 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-25 1 1 335,52 335,52 335,52 335,52 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-26 1 1 338,14 338,14 338,14 338,14 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-27 1 1 329,3837 329,3837 329,3837 329,3837 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-28 1 1 338,07 338,07 338,07 338,07 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-07-29 1 1 339,52 339,52 339,52 339,52 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-01 1 1 338,8134 338,8134 338,8134 338,8134 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-02 1 1 339,7677 339,7677 339,7677 339,7677 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-03 1 1 340,1452 340,1452 340,1452 340,1452 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-04 1 1 336,6883 336,6883 336,6883 336,6883 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-05 1 1 335,7585 335,7585 335,7585 335,7585 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-08 1 1 336,8881 336,8881 336,8881 336,8881 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-09 1 1 337,8837 337,8837 337,8837 337,8837 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-10 1 1 341,3588 341,3588 341,3588 341,3588 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-11 1 1 340,5218 340,5218 340,5218 340,5218 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-12 1 1 339,0154 339,0154 339,0154 339,0154 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-15 1 1 338,4475 338,4475 338,4475 338,4475 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-16 1 1 339,1812 339,1812 339,1812 339,1812 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-17 1 1 337,6391 337,6391 337,6391 337,6391 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-18 1 1 337,166 337,166 337,166 337,166 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-19 1 1 339,7257 339,7257 339,7257 339,7257 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-22 1 1 340,6771 340,6771 340,6771 340,6771 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-23 1 1 338,0497 338,0497 338,0497 338,0497 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-24 1 1 334,8273 334,8273 334,8273 334,8273 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-25 1 1 334,0558 334,0558 334,0558 334,0558 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-26 1 1 331,5689 331,5689 331,5689 331,5689 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-29 1 1 332,3437 332,3437 332,3437 332,3437 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-30 1 1 333,5164 333,5164 333,5164 333,5164 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-08-31 1 1 333,9197 333,9197 333,9197 333,9197 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-01 1 1 337,99 337,99 337,99 337,99 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-02 1 1 336,0201 336,0201 336,0201 336,0201 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-05 1 1 338,2278 338,2278 338,2278 338,2278 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-06 1 1 341,4237 341,4237 341,4237 341,4237 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-07 1 1 342,5477 342,5477 342,5477 342,5477 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-08 1 1 342,5853 342,5853 342,5853 342,5853 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-09 1 1 343,203 343,203 343,203 343,203 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-12 1 1 343,3753 343,3753 343,3753 343,3753 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-13 1 1 342,5003 342,5003 342,5003 342,5003 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-14 1 1 342,8245 342,8245 342,8245 342,8245 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-15 1 1 343,4935 343,4935 343,4935 343,4935 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-16 1 1 346,0986 346,0986 346,0986 346,0986 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-19 1 1 346,6124 346,6124 346,6124 346,6124 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-20 1 1 346,6874 346,6874 346,6874 346,6874 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-21 1 1 343,4756 343,4756 343,4756 343,4756 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-22 1 1 343,2547 343,2547 343,2547 343,2547 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-23 1 1 343,5014 343,5014 343,5014 343,5014 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-26 1 1 347,4094 347,4094 347,4094 347,4094 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-27 1 1 348,6341 348,6341 348,6341 348,6341 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-28 1 1 350,6034 350,6034 350,6034 350,6034 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-29 1 1 349,4632 349,4632 349,4632 349,4632 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-09-30 1 1 349,4372 349,4372 349,4372 349,4372 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-03 1 1 351,7743 351,7743 351,7743 351,7743 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-04 1 1 352,9563 352,9563 352,9563 352,9563 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-05 1 1 350,193 350,193 350,193 350,193 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-06 1 1 344,8274 344,8274 344,8274 344,8274 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-07 1 1 345,2874 345,2874 345,2874 345,2874 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-10 1 1 346,0169 346,0169 346,0169 346,0169 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-11 1 1 346,1889 346,1889 346,1889 346,1889 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-12 1 1 344,4076 344,4076 344,4076 344,4076 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-13 1 1 341,1474 341,1474 341,1474 341,1474 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-14 1 1 343,6106 343,6106 343,6106 343,6106 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-17 1 1 344,465 344,465 344,465 344,465 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-18 1 1 343,127 343,127 343,127 343,127 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-19 1 1 338,0848 338,0848 338,0848 338,0848 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-20 1 1 340,1226 340,1226 340,1226 340,1226 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-21 1 1 337,8304 337,8304 337,8304 337,8304 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-24 1 1 343,0311 343,0311 343,0311 343,0311 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-25 1 1 341,424 341,424 341,424 341,424 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-26 1 1 342,0045 342,0045 342,0045 342,0045 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-27 1 1 339,9253 339,9253 339,9253 339,9253 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-28 1 1 339,2635 339,2635 339,2635 339,2635 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-10-31 1 1 347,0693 347,0693 347,0693 347,0693 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-01 1 1 350,1218 350,1218 350,1218 350,1218 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-02 1 1 351,5927 351,5927 351,5927 351,5927 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-03 1 1 358,3185 358,3185 358,3185 358,3185 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-04 1 1 358,0957 358,0957 358,0957 358,0957 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-07 1 1 359,6784 359,6784 359,6784 359,6784 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-08 1 1 356,9877 356,9877 356,9877 356,9877 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-09 1 1 360,3859 360,3859 360,3859 360,3859 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-10 1 1 360,7463 360,7463 360,7463 360,7463 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-11 1 1 361,4058 361,4058 361,4058 361,4058 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-14 1 1 363,0478 363,0478 363,0478 363,0478 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-15 1 1 362,7929 362,7929 362,7929 362,7929 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-16 1 1 359,7361 359,7361 359,7361 359,7361 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-17 1 1 363,6828 363,6828 363,6828 363,6828 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-18 1 1 364,8751 364,8751 364,8751 364,8751 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-21 1 1 364,8279 364,8279 364,8279 364,8279 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-22 1 1 364,0862 364,0862 364,0862 364,0862 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-23 1 1 364,3146 364,3146 364,3146 364,3146 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-24 1 1 364,2533 364,2533 364,2533 364,2533 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-25 1 1 364,6594 364,6594 364,6594 364,6594 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-28 1 1 363,3087 363,3087 363,3087 363,3087 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-29 1 1 365,001 365,001 365,001 365,001 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-11-30 1 1 364,4617 364,4617 364,4617 364,4617 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-01 1 1 368,2457 368,2457 368,2457 368,2457 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-02 1 1 368,107 368,107 368,107 368,107 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-05 1 1 369,2366 369,2366 369,2366 369,2366 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-06 1 1 368,1299 368,1299 368,1299 368,1299 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-07 1 1 370,2841 370,2841 370,2841 370,2841 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-08 1 1 369,5037 369,5037 369,5037 369,5037 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-12 1 1 371,1566 371,1566 371,1566 371,1566 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-13 1 1 371,0493 371,0493 371,0493 371,0493 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-14 1 1 369,9509 369,9509 369,9509 369,9509 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-15 1 1 369,2797 369,2797 369,2797 369,2797 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-16 1 1 371,2932 371,2932 371,2932 371,2932 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-19 1 1 370,0702 370,0702 370,0702 370,0702 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-20 1 1 369,5142 369,5142 369,5142 369,5142 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-21 1 1 373,0706 373,0706 373,0706 373,0706 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-22 1 1 374,2529 374,2529 374,2529 374,2529 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-23 1 1 374,8582 374,8582 374,8582 374,8582 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-27 1 1 375,3781 375,3781 375,3781 375,3781 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-28 1 1 373,5373 373,5373 373,5373 373,5373 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-29 1 1 374,9331 374,9331 374,9331 374,9331 492306 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Europafond SEK 2005-12-30 1 1 372,024 372,024 372,024 372,024 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-03 1 1 688,704 688,704 688,704 688,704 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-04 1 1 687,1485 687,1485 687,1485 687,1485 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-05 1 1 685,3327 685,3327 685,3327 685,3327 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-07 1 1 694,9178 694,9178 694,9178 694,9178 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-10 1 1 698,5575 698,5575 698,5575 698,5575 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-11 1 1 698,5429 698,5429 698,5429 698,5429 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-12 1 1 697,5589 697,5589 697,5589 697,5589 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-13 1 1 698,4953 698,4953 698,4953 698,4953 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-14 1 1 701,3331 701,3331 701,3331 701,3331 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-17 1 1 701,8316 701,8316 701,8316 701,8316 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-18 1 1 702,83 702,83 702,83 702,83 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-19 1 1 708,0638 708,0638 708,0638 708,0638 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-20 1 1 708,2785 708,2785 708,2785 708,2785 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-21 1 1 705,4771 705,4771 705,4771 705,4771 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-24 1 1 701,5327 701,5327 701,5327 701,5327 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-25 1 1 702,1151 702,1151 702,1151 702,1151 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-26 1 1 702,6555 702,6555 702,6555 702,6555 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-27 1 1 701,0013 701,0013 701,0013 701,0013 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-28 1 1 701,3825 701,3825 701,3825 701,3825 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-01-31 1 1 702,6096 702,6096 702,6096 702,6096 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-01 1 1 706,9307 706,9307 706,9307 706,9307 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-02 1 1 711,857 711,857 711,857 711,857 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-03 1 1 710,8556 710,8556 710,8556 710,8556 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-04 1 1 710,0694 710,0694 710,0694 710,0694 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-07 1 1 709,062 709,062 709,062 709,062 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-08 1 1 707,4401 707,4401 707,4401 707,4401 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-09 1 1 709,0892 709,0892 709,0892 709,0892 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-10 1 1 707,7256 707,7256 707,7256 707,7256 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-11 1 1 708,721 708,721 708,721 708,721 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-14 1 1 710,1111 710,1111 710,1111 710,1111 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-15 1 1 715,2511 715,2511 715,2511 715,2511 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-16 1 1 714,4572 714,4572 714,4572 714,4572 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-17 1 1 718,758 718,758 718,758 718,758 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-18 1 1 724,4204 724,4204 724,4204 724,4204 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-21 1 1 725,5735 725,5735 725,5735 725,5735 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-22 1 1 723,7039 723,7039 723,7039 723,7039 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-23 1 1 731,2001 731,2001 731,2001 731,2001 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-24 1 1 738,4239 738,4239 738,4239 738,4239 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-25 1 1 739,7157 739,7157 739,7157 739,7157 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-02-28 1 1 746,0301 746,0301 746,0301 746,0301 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-01 1 1 746,8066 746,8066 746,8066 746,8066 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-02 1 1 748,285 748,285 748,285 748,285 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-03 1 1 749,2692 749,2692 749,2692 749,2692 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-04 1 1 751,6379 751,6379 751,6379 751,6379 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-07 1 1 754,8109 754,8109 754,8109 754,8109 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-08 1 1 760,2427 760,2427 760,2427 760,2427 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-09 1 1 755,8496 755,8496 755,8496 755,8496 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-10 1 1 750,1538 750,1538 750,1538 750,1538 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-11 1 1 723,1043 723,1043 723,1043 723,1043 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-14 1 1 721,4007 721,4007 721,4007 721,4007 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-15 1 1 728,3488 728,3488 728,3488 728,3488 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-16 1 1 728,4969 728,4969 728,4969 728,4969 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-17 1 1 730,0983 730,0983 730,0983 730,0983 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-18 1 1 729,1271 729,1271 729,1271 729,1271 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-21 1 1 736,8514 736,8514 736,8514 736,8514 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-22 1 1 745,7366 745,7366 745,7366 745,7366 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-23 1 1 744,5501 744,5501 744,5501 744,5501 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-24 1 1 746,4353 746,4353 746,4353 746,4353 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-29 1 1 750,6206 750,6206 750,6206 750,6206 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-30 1 1 752,5996 752,5996 752,5996 752,5996 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-03-31 1 1 758,9136 758,9136 758,9136 758,9136 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-01 1 1 765,0308 765,0308 765,0308 765,0308 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-04 1 1 769,7448 769,7448 769,7448 769,7448 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-05 1 1 779,6174 779,6174 779,6174 779,6174 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-06 1 1 785,1419 785,1419 785,1419 785,1419 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-07 1 1 786,638 786,638 786,638 786,638 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-08 1 1 785,2481 785,2481 785,2481 785,2481 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-11 1 1 789,4709 789,4709 789,4709 789,4709 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-12 1 1 791,3944 791,3944 791,3944 791,3944 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-13 1 1 797,563 797,563 797,563 797,563 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-14 1 1 796,4494 796,4494 796,4494 796,4494 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-15 1 1 785,0114 785,0114 785,0114 785,0114 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-18 1 1 775,6108 775,6108 775,6108 775,6108 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-19 1 1 789,6239 789,6239 789,6239 789,6239 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-20 1 1 796,1302 796,1302 796,1302 796,1302 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-21 1 1 796,4241 796,4241 796,4241 796,4241 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-22 1 1 797,7526 797,7526 797,7526 797,7526 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-25 1 1 800,7149 800,7149 800,7149 800,7149 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-26 1 1 803,6867 803,6867 803,6867 803,6867 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-27 1 1 796,0105 796,0105 796,0105 796,0105 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-28 1 1 794,2237 794,2237 794,2237 794,2237 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-04-29 1 1 801,7377 801,7377 801,7377 801,7377 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-02 1 1 805,0187 805,0187 805,0187 805,0187 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-03 1 1 806,0789 806,0789 806,0789 806,0789 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-04 1 1 801,3586 801,3586 801,3586 801,3586 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-06 1 1 802,3585 802,3585 802,3585 802,3585 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-09 1 1 806,3834 806,3834 806,3834 806,3834 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-10 1 1 801,5096 801,5096 801,5096 801,5096 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-11 1 1 808,0216 808,0216 808,0216 808,0216 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-12 1 1 813,8577 813,8577 813,8577 813,8577 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-13 1 1 814,6901 814,6901 814,6901 814,6901 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-16 1 1 818,1655 818,1655 818,1655 818,1655 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-17 1 1 821,3022 821,3022 821,3022 821,3022 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-18 1 1 823,1838 823,1838 823,1838 823,1838 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-19 1 1 827,2956 827,2956 827,2956 827,2956 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-20 1 1 830,4955 830,4955 830,4955 830,4955 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-23 1 1 835,8408 835,8408 835,8408 835,8408 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-24 1 1 849,5092 849,5092 849,5092 849,5092 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-25 1 1 853,7297 853,7297 853,7297 853,7297 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-26 1 1 854,3005 854,3005 854,3005 854,3005 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-27 1 1 863,0737 863,0737 863,0737 863,0737 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-30 1 1 869,8191 869,8191 869,8191 869,8191 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-05-31 1 1 873,0267 873,0267 873,0267 873,0267 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-01 1 1 871,8373 871,8373 871,8373 871,8373 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-02 1 1 868,8725 868,8725 868,8725 868,8725 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-03 1 1 880,4517 880,4517 880,4517 880,4517 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-07 1 1 891,0523 891,0523 891,0523 891,0523 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-08 1 1 895,1259 895,1259 895,1259 895,1259 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-09 1 1 893,7865 893,7865 893,7865 893,7865 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-10 1 1 901,8318 901,8318 901,8318 901,8318 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-13 1 1 918,1936 918,1936 918,1936 918,1936 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-14 1 1 920,2052 920,2052 920,2052 920,2052 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-15 1 1 921,3347 921,3347 921,3347 921,3347 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-16 1 1 912,9521 912,9521 912,9521 912,9521 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-17 1 1 905,6583 905,6583 905,6583 905,6583 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-20 1 1 911,1721 911,1721 911,1721 911,1721 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-21 1 1 914,0571 914,0571 914,0571 914,0571 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-22 1 1 917,9837 917,9837 917,9837 917,9837 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-23 1 1 920,509 920,509 920,509 920,509 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-27 1 1 913,4223 913,4223 913,4223 913,4223 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-28 1 1 921,7586 921,7586 921,7586 921,7586 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-29 1 1 919,7359 919,7359 919,7359 919,7359 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-06-30 1 1 925,2894 925,2894 925,2894 925,2894 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-01 1 1 922,9495 922,9495 922,9495 922,9495 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-04 1 1 929,1735 929,1735 929,1735 929,1735 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-05 1 1 939,2978 939,2978 939,2978 939,2978 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-06 1 1 943,3818 943,3818 943,3818 943,3818 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-07 1 1 936,6705 936,6705 936,6705 936,6705 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-08 1 1 950,0639 950,0639 950,0639 950,0639 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-11 1 1 964,3854 964,3854 964,3854 964,3854 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-12 1 1 970,753 970,753 970,753 970,753 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-13 1 1 973,7551 973,7551 973,7551 973,7551 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-14 1 1 977,4754 977,4754 977,4754 977,4754 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-15 1 1 977,143 977,143 977,143 977,143 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-18 1 1 972,5256 972,5256 972,5256 972,5256 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-19 1 1 971,4098 971,4098 971,4098 971,4098 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-20 1 1 960,5943 960,5943 960,5943 960,5943 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-21 1 1 959,0812 959,0812 959,0812 959,0812 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-22 1 1 962,4339 962,4339 962,4339 962,4339 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-25 1 1 961,29 961,29 961,29 961,29 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-26 1 1 963,3329 963,3329 963,3329 963,3329 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-27 1 1 971,1198 971,1198 971,1198 971,1198 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-28 1 1 974,7275 974,7275 974,7275 974,7275 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-07-29 1 1 977,9826 977,9826 977,9826 977,9826 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-01 1 1 989,2745 989,2745 989,2745 989,2745 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-02 1 1 986,8408 986,8408 986,8408 986,8408 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-03 1 1 986,3992 986,3992 986,3992 986,3992 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-04 1 1 987,7558 987,7558 987,7558 987,7558 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-05 1 1 988,5943 988,5943 988,5943 988,5943 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-08 1 1 983,1042 983,1042 983,1042 983,1042 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-09 1 1 980,1326 980,1326 980,1326 980,1326 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-10 1 1 949,0786 949,0786 949,0786 949,0786 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-11 1 1 914,5472 914,5472 914,5472 914,5472 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-12 1 1 918,6394 918,6394 918,6394 918,6394 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-15 1 1 912,0657 912,0657 912,0657 912,0657 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-16 1 1 924,0525 924,0525 924,0525 924,0525 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-17 1 1 919,529 919,529 919,529 919,529 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-18 1 1 915,2316 915,2316 915,2316 915,2316 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-19 1 1 918,796 918,796 918,796 918,796 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-22 1 1 912,7487 912,7487 912,7487 912,7487 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-23 1 1 904,7334 904,7334 904,7334 904,7334 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-24 1 1 882,0971 882,0971 882,0971 882,0971 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-25 1 1 880,9962 880,9962 880,9962 880,9962 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-26 1 1 883,3059 883,3059 883,3059 883,3059 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-29 1 1 875,1859 875,1859 875,1859 875,1859 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-30 1 1 876,4018 876,4018 876,4018 876,4018 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-08-31 1 1 878,4187 878,4187 878,4187 878,4187 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-01 1 1 886,592 886,592 886,592 886,592 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-02 1 1 881,4379 881,4379 881,4379 881,4379 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-05 1 1 884,1314 884,1314 884,1314 884,1314 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-06 1 1 890,896 890,896 890,896 890,896 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-07 1 1 895,9186 895,9186 895,9186 895,9186 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-08 1 1 890,0231 890,0231 890,0231 890,0231 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-09 1 1 889,4548 889,4548 889,4548 889,4548 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-12 1 1 883,1403 883,1403 883,1403 883,1403 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-13 1 1 881,4211 881,4211 881,4211 881,4211 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-14 1 1 889,306 889,306 889,306 889,306 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-15 1 1 889,5112 889,5112 889,5112 889,5112 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-16 1 1 892,6265 892,6265 892,6265 892,6265 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-19 1 1 895,7906 895,7906 895,7906 895,7906 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-20 1 1 899,6793 899,6793 899,6793 899,6793 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-21 1 1 897,6935 897,6935 897,6935 897,6935 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-22 1 1 898,047 898,047 898,047 898,047 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-23 1 1 903,0508 903,0508 903,0508 903,0508 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-26 1 1 904,9797 904,9797 904,9797 904,9797 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-27 1 1 908,2601 908,2601 908,2601 908,2601 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-28 1 1 916,3745 916,3745 916,3745 916,3745 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-29 1 1 917,7577 917,7577 917,7577 917,7577 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-09-30 1 1 922,6328 922,6328 922,6328 922,6328 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-03 1 1 919,7142 919,7142 919,7142 919,7142 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-04 1 1 915,6812 915,6812 915,6812 915,6812 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-05 1 1 905,3881 905,3881 905,3881 905,3881 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-06 1 1 897,7686 897,7686 897,7686 897,7686 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-07 1 1 900,9371 900,9371 900,9371 900,9371 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-10 1 1 905,1127 905,1127 905,1127 905,1127 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-11 1 1 909,3315 909,3315 909,3315 909,3315 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-12 1 1 907,1605 907,1605 907,1605 907,1605 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-13 1 1 894,9101 894,9101 894,9101 894,9101 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-14 1 1 890,1693 890,1693 890,1693 890,1693 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-17 1 1 890,1084 890,1084 890,1084 890,1084 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-18 1 1 893,7455 893,7455 893,7455 893,7455 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-19 1 1 880,1453 880,1453 880,1453 880,1453 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-20 1 1 882,748 882,748 882,748 882,748 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-21 1 1 871,0176 871,0176 871,0176 871,0176 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-24 1 1 882,9762 882,9762 882,9762 882,9762 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-25 1 1 885,3651 885,3651 885,3651 885,3651 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-26 1 1 885,0427 885,0427 885,0427 885,0427 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-27 1 1 886,6992 886,6992 886,6992 886,6992 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-28 1 1 881,8435 881,8435 881,8435 881,8435 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-10-31 1 1 886,0994 886,0994 886,0994 886,0994 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-01 1 1 890,4279 890,4279 890,4279 890,4279 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-02 1 1 895,3312 895,3312 895,3312 895,3312 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-03 1 1 907,7661 907,7661 907,7661 907,7661 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-04 1 1 913,5232 913,5232 913,5232 913,5232 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-07 1 1 916,049 916,049 916,049 916,049 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-08 1 1 920,1233 920,1233 920,1233 920,1233 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-09 1 1 913,7048 913,7048 913,7048 913,7048 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-10 1 1 918,7563 918,7563 918,7563 918,7563 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-11 1 1 923,3126 923,3126 923,3126 923,3126 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-14 1 1 924,243 924,243 924,243 924,243 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-15 1 1 922,0039 922,0039 922,0039 922,0039 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-16 1 1 921,4742 921,4742 921,4742 921,4742 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-17 1 1 930,7722 930,7722 930,7722 930,7722 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-18 1 1 927,995 927,995 927,995 927,995 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-21 1 1 926,9297 926,9297 926,9297 926,9297 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-22 1 1 932,8653 932,8653 932,8653 932,8653 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-23 1 1 936,2851 936,2851 936,2851 936,2851 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-24 1 1 933,9849 933,9849 933,9849 933,9849 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-25 1 1 939,4878 939,4878 939,4878 939,4878 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-28 1 1 935,9905 935,9905 935,9905 935,9905 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-29 1 1 940,8733 940,8733 940,8733 940,8733 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-11-30 1 1 935,668 935,668 935,668 935,668 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-01 1 1 945,3518 945,3518 945,3518 945,3518 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-02 1 1 949,7637 949,7637 949,7637 949,7637 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-05 1 1 952,708 952,708 952,708 952,708 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-06 1 1 950,8712 950,8712 950,8712 950,8712 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-07 1 1 948,1794 948,1794 948,1794 948,1794 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-08 1 1 947,0383 947,0383 947,0383 947,0383 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-12 1 1 950,2775 950,2775 950,2775 950,2775 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-13 1 1 948,1263 948,1263 948,1263 948,1263 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-14 1 1 946,1037 946,1037 946,1037 946,1037 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-15 1 1 942,6565 942,6565 942,6565 942,6565 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-16 1 1 949,0222 949,0222 949,0222 949,0222 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-19 1 1 949,9913 949,9913 949,9913 949,9913 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-20 1 1 950,4345 950,4345 950,4345 950,4345 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-21 1 1 955,3333 955,3333 955,3333 955,3333 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-22 1 1 954,2587 954,2587 954,2587 954,2587 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-23 1 1 963,172 963,172 963,172 963,172 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-27 1 1 965,7863 965,7863 965,7863 965,7863 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-28 1 1 966,9397 966,9397 966,9397 966,9397 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-29 1 1 968,1384 968,1384 968,1384 968,1384 313742 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Fastighetsfond SEK 2005-12-30 1 1 968,0068 968,0068 968,0068 968,0068 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-03 1 1 188,86 188,86 188,86 188,86 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-04 1 1 189,5289 189,5289 189,5289 189,5289 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-05 1 1 188,7644 188,7644 188,7644 188,7644 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-07 1 1 189,8594 189,8594 189,8594 189,8594 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-10 1 1 190,4305 190,4305 190,4305 190,4305 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-11 1 1 189,0281 189,0281 189,0281 189,0281 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-12 1 1 188,4009 188,4009 188,4009 188,4009 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-13 1 1 188,7048 188,7048 188,7048 188,7048 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-14 1 1 189,6187 189,6187 189,6187 189,6187 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-17 1 1 191,0243 191,0243 191,0243 191,0243 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-18 1 1 190,26 190,26 190,26 190,26 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-19 1 1 191,7137 191,7137 191,7137 191,7137 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-20 1 1 190,5089 190,5089 190,5089 190,5089 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-21 1 1 190,2607 190,2607 190,2607 190,2607 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-24 1 1 189,3092 189,3092 189,3092 189,3092 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-25 1 1 190,7188 190,7188 190,7188 190,7188 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-26 1 1 190,7465 190,7465 190,7465 190,7465 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-27 1 1 190,7538 190,7538 190,7538 190,7538 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-28 1 1 191,4036 191,4036 191,4036 191,4036 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-01-31 1 1 191,9076 191,9076 191,9076 191,9076 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-01 1 1 192,1481 192,1481 192,1481 192,1481 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-02 1 1 192,4767 192,4767 192,4767 192,4767 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-03 1 1 192,7273 192,7273 192,7273 192,7273 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-04 1 1 193,7201 193,7201 193,7201 193,7201 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-07 1 1 196,6855 196,6855 196,6855 196,6855 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-08 1 1 197,434 197,434 197,434 197,434 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-09 1 1 197,0981 197,0981 197,0981 197,0981 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-10 1 1 195,9658 195,9658 195,9658 195,9658 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-11 1 1 196,2344 196,2344 196,2344 196,2344 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-14 1 1 196,8836 196,8836 196,8836 196,8836 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-15 1 1 196,7224 196,7224 196,7224 196,7224 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-16 1 1 196,0479 196,0479 196,0479 196,0479 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-17 1 1 196,2762 196,2762 196,2762 196,2762 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-18 1 1 195,2899 195,2899 195,2899 195,2899 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-21 1 1 196,4492 196,4492 196,4492 196,4492 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-22 1 1 193,5372 193,5372 193,5372 193,5372 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-23 1 1 191,8412 191,8412 191,8412 191,8412 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-24 1 1 191,3951 191,3951 191,3951 191,3951 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-25 1 1 193,8813 193,8813 193,8813 193,8813 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-02-28 1 1 195,0645 195,0645 195,0645 195,0645 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-01 1 1 195,1563 195,1563 195,1563 195,1563 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-02 1 1 195,4614 195,4614 195,4614 195,4614 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-03 1 1 196,2048 196,2048 196,2048 196,2048 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-04 1 1 195,864 195,864 195,864 195,864 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-07 1 1 197,0392 197,0392 197,0392 197,0392 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-08 1 1 195,6733 195,6733 195,6733 195,6733 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-09 1 1 194,5635 194,5635 194,5635 194,5635 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-10 1 1 193,037 193,037 193,037 193,037 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-11 1 1 190,0132 190,0132 190,0132 190,0132 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-14 1 1 190,9935 190,9935 190,9935 190,9935 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-15 1 1 192,0023 192,0023 192,0023 192,0023 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-16 1 1 189,1058 189,1058 189,1058 189,1058 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-17 1 1 188,9689 188,9689 188,9689 188,9689 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-18 1 1 191,1442 191,1442 191,1442 191,1442 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-21 1 1 192,1472 192,1472 192,1472 192,1472 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-22 1 1 191,7531 191,7531 191,7531 191,7531 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-23 1 1 191,0908 191,0908 191,0908 191,0908 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-24 1 1 191,5809 191,5809 191,5809 191,5809 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-29 1 1 191,8556 191,8556 191,8556 191,8556 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-30 1 1 189,9011 189,9011 189,9011 189,9011 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-03-31 1 1 192,0113 192,0113 192,0113 192,0113 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-01 1 1 193,6137 193,6137 193,6137 193,6137 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-04 1 1 194,0905 194,0905 194,0905 194,0905 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-05 1 1 195,8949 195,8949 195,8949 195,8949 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-06 1 1 195,5412 195,5412 195,5412 195,5412 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-07 1 1 195,4114 195,4114 195,4114 195,4114 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-08 1 1 196,941 196,941 196,941 196,941 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-11 1 1 194,5394 194,5394 194,5394 194,5394 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-12 1 1 194,266 194,266 194,266 194,266 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-13 1 1 195,2039 195,2039 195,2039 195,2039 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-14 1 1 194,9262 194,9262 194,9262 194,9262 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-15 1 1 191,3035 191,3035 191,3035 191,3035 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-18 1 1 186,927 186,927 186,927 186,927 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-19 1 1 188,3115 188,3115 188,3115 188,3115 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-20 1 1 187,6048 187,6048 187,6048 187,6048 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-21 1 1 186,9695 186,9695 186,9695 186,9695 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-22 1 1 187,773 187,773 187,773 187,773 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-25 1 1 189,1478 189,1478 189,1478 189,1478 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-26 1 1 188,9518 188,9518 188,9518 188,9518 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-27 1 1 187,119 187,119 187,119 187,119 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-28 1 1 188,0878 188,0878 188,0878 188,0878 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-04-29 1 1 188,1976 188,1976 188,1976 188,1976 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-02 1 1 190,8469 190,8469 190,8469 190,8469 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-03 1 1 190,8971 190,8971 190,8971 190,8971 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-04 1 1 189,8389 189,8389 189,8389 189,8389 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-06 1 1 193,2904 193,2904 193,2904 193,2904 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-09 1 1 192,708 192,708 192,708 192,708 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-10 1 1 192,6909 192,6909 192,6909 192,6909 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-11 1 1 192,6012 192,6012 192,6012 192,6012 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-12 1 1 194,3266 194,3266 194,3266 194,3266 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-13 1 1 192,0927 192,0927 192,0927 192,0927 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-16 1 1 191,5623 191,5623 191,5623 191,5623 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-17 1 1 191,8191 191,8191 191,8191 191,8191 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-18 1 1 194,5289 194,5289 194,5289 194,5289 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-19 1 1 196,2438 196,2438 196,2438 196,2438 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-20 1 1 196,6393 196,6393 196,6393 196,6393 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-23 1 1 197,0001 197,0001 197,0001 197,0001 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-24 1 1 196,9622 196,9622 196,9622 196,9622 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-25 1 1 196,1482 196,1482 196,1482 196,1482 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-26 1 1 198,2415 198,2415 198,2415 198,2415 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-27 1 1 198,5213 198,5213 198,5213 198,5213 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-30 1 1 199,6609 199,6609 199,6609 199,6609 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-05-31 1 1 200,3219 200,3219 200,3219 200,3219 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-01 1 1 201,6403 201,6403 201,6403 201,6403 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-02 1 1 202,6666 202,6666 202,6666 202,6666 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-03 1 1 202,6322 202,6322 202,6322 202,6322 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-07 1 1 203,6558 203,6558 203,6558 203,6558 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-08 1 1 204,049 204,049 204,049 204,049 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-09 1 1 203,9681 203,9681 203,9681 203,9681 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-10 1 1 207,1349 207,1349 207,1349 207,1349 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-13 1 1 208,8653 208,8653 208,8653 208,8653 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-14 1 1 210,1159 210,1159 210,1159 210,1159 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-15 1 1 210,2012 210,2012 210,2012 210,2012 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-16 1 1 210,5144 210,5144 210,5144 210,5144 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-17 1 1 210,5463 210,5463 210,5463 210,5463 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-20 1 1 210,3478 210,3478 210,3478 210,3478 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-21 1 1 211,362 211,362 211,362 211,362 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-22 1 1 212,6058 212,6058 212,6058 212,6058 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-23 1 1 215,3656 215,3656 215,3656 215,3656 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-27 1 1 211,1292 211,1292 211,1292 211,1292 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-28 1 1 213,6601 213,6601 213,6601 213,6601 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-29 1 1 216,0255 216,0255 216,0255 216,0255 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-06-30 1 1 216,4808 216,4808 216,4808 216,4808 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-01 1 1 216,4379 216,4379 216,4379 216,4379 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-04 1 1 218,5838 218,5838 218,5838 218,5838 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-05 1 1 216,9244 216,9244 216,9244 216,9244 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-06 1 1 217,5103 217,5103 217,5103 217,5103 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-07 1 1 214,9233 214,9233 214,9233 214,9233 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-08 1 1 217,0399 217,0399 217,0399 217,0399 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-11 1 1 219,3576 219,3576 219,3576 219,3576 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-12 1 1 216,7667 216,7667 216,7667 216,7667 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-13 1 1 216,8895 216,8895 216,8895 216,8895 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-14 1 1 218,5616 218,5616 218,5616 218,5616 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-15 1 1 218,4145 218,4145 218,4145 218,4145 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-18 1 1 218,2471 218,2471 218,2471 218,2471 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-19 1 1 220,0742 220,0742 220,0742 220,0742 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-20 1 1 218,6235 218,6235 218,6235 218,6235 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-21 1 1 219,2313 219,2313 219,2313 219,2313 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-22 1 1 219,0712 219,0712 219,0712 219,0712 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-25 1 1 219,7817 219,7817 219,7817 219,7817 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-26 1 1 220,6491 220,6491 220,6491 220,6491 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-27 1 1 220,5897 220,5897 220,5897 220,5897 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-28 1 1 220,0012 220,0012 220,0012 220,0012 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-07-29 1 1 220,9227 220,9227 220,9227 220,9227 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-01 1 1 218,9026 218,9026 218,9026 218,9026 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-02 1 1 218,9523 218,9523 218,9523 218,9523 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-03 1 1 218,8396 218,8396 218,8396 218,8396 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-04 1 1 216,6223 216,6223 216,6223 216,6223 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-05 1 1 215,2289 215,2289 215,2289 215,2289 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-08 1 1 214,7573 214,7573 214,7573 214,7573 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-09 1 1 215,3654 215,3654 215,3654 215,3654 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-10 1 1 217,2538 217,2538 217,2538 217,2538 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-11 1 1 216,4251 216,4251 216,4251 216,4251 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-12 1 1 215,6815 215,6815 215,6815 215,6815 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-15 1 1 216,3983 216,3983 216,3983 216,3983 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-16 1 1 217,3044 217,3044 217,3044 217,3044 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-17 1 1 216,2762 216,2762 216,2762 216,2762 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-18 1 1 216,7898 216,7898 216,7898 216,7898 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-19 1 1 218,4503 218,4503 218,4503 218,4503 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-22 1 1 219,2839 219,2839 219,2839 219,2839 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-23 1 1 218,0839 218,0839 218,0839 218,0839 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-24 1 1 215,9105 215,9105 215,9105 215,9105 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-25 1 1 215,0931 215,0931 215,0931 215,0931 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-26 1 1 213,9285 213,9285 213,9285 213,9285 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-29 1 1 213,5414 213,5414 213,5414 213,5414 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-30 1 1 215,878 215,878 215,878 215,878 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-08-31 1 1 215,6135 215,6135 215,6135 215,6135 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-01 1 1 216,5199 216,5199 216,5199 216,5199 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-02 1 1 214,7174 214,7174 214,7174 214,7174 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-05 1 1 215,0884 215,0884 215,0884 215,0884 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-06 1 1 217,0945 217,0945 217,0945 217,0945 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-07 1 1 218,4787 218,4787 218,4787 218,4787 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-08 1 1 218,7803 218,7803 218,7803 218,7803 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-09 1 1 219,6333 219,6333 219,6333 219,6333 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-12 1 1 221,3923 221,3923 221,3923 221,3923 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-13 1 1 220,9046 220,9046 220,9046 220,9046 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-14 1 1 220,6828 220,6828 220,6828 220,6828 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-15 1 1 222,6472 222,6472 222,6472 222,6472 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-16 1 1 223,5582 223,5582 223,5582 223,5582 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-19 1 1 224,9391 224,9391 224,9391 224,9391 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-20 1 1 225,2574 225,2574 225,2574 225,2574 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-21 1 1 222,7143 222,7143 222,7143 222,7143 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-22 1 1 222,7962 222,7962 222,7962 222,7962 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-23 1 1 224,2055 224,2055 224,2055 224,2055 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-26 1 1 227,049 227,049 227,049 227,049 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-27 1 1 227,7012 227,7012 227,7012 227,7012 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-28 1 1 228,9903 228,9903 228,9903 228,9903 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-29 1 1 228,0659 228,0659 228,0659 228,0659 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-09-30 1 1 228,1349 228,1349 228,1349 228,1349 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-03 1 1 230,5791 230,5791 230,5791 230,5791 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-04 1 1 230,3233 230,3233 230,3233 230,3233 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-05 1 1 226,8257 226,8257 226,8257 226,8257 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-06 1 1 220,7798 220,7798 220,7798 220,7798 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-07 1 1 221,1022 221,1022 221,1022 221,1022 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-10 1 1 222,1737 222,1737 222,1737 222,1737 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-11 1 1 223,057 223,057 223,057 223,057 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-12 1 1 221,8232 221,8232 221,8232 221,8232 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-13 1 1 220,5155 220,5155 220,5155 220,5155 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-14 1 1 221,3964 221,3964 221,3964 221,3964 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-17 1 1 222,2269 222,2269 222,2269 222,2269 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-18 1 1 222,7822 222,7822 222,7822 222,7822 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-19 1 1 219,1457 219,1457 219,1457 219,1457 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-20 1 1 222,9612 222,9612 222,9612 222,9612 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-21 1 1 220,3501 220,3501 220,3501 220,3501 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-24 1 1 223,3222 223,3222 223,3222 223,3222 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-25 1 1 222,6906 222,6906 222,6906 222,6906 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-26 1 1 222,0503 222,0503 222,0503 222,0503 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-27 1 1 220,439 220,439 220,439 220,439 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-28 1 1 219,9732 219,9732 219,9732 219,9732 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-10-31 1 1 225,7738 225,7738 225,7738 225,7738 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-01 1 1 228,1214 228,1214 228,1214 228,1214 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-02 1 1 228,9434 228,9434 228,9434 228,9434 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-03 1 1 232,7832 232,7832 232,7832 232,7832 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-04 1 1 233,3796 233,3796 233,3796 233,3796 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-07 1 1 235,1329 235,1329 235,1329 235,1329 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-08 1 1 232,7735 232,7735 232,7735 232,7735 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-09 1 1 234,6563 234,6563 234,6563 234,6563 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-10 1 1 234,9623 234,9623 234,9623 234,9623 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-11 1 1 235,9945 235,9945 235,9945 235,9945 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-14 1 1 236,3727 236,3727 236,3727 236,3727 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-15 1 1 237,2676 237,2676 237,2676 237,2676 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-16 1 1 236,7549 236,7549 236,7549 236,7549 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-17 1 1 238,3854 238,3854 238,3854 238,3854 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-18 1 1 239,9141 239,9141 239,9141 239,9141 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-21 1 1 238,2165 238,2165 238,2165 238,2165 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-22 1 1 238,9157 238,9157 238,9157 238,9157 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-23 1 1 238,459 238,459 238,459 238,459 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-24 1 1 238,6364 238,6364 238,6364 238,6364 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-25 1 1 239,2017 239,2017 239,2017 239,2017 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-28 1 1 238,2445 238,2445 238,2445 238,2445 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-29 1 1 238,7009 238,7009 238,7009 238,7009 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-11-30 1 1 238,3552 238,3552 238,3552 238,3552 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-01 1 1 239,7252 239,7252 239,7252 239,7252 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-02 1 1 239,9601 239,9601 239,9601 239,9601 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-05 1 1 239,4825 239,4825 239,4825 239,4825 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-06 1 1 238,5205 238,5205 238,5205 238,5205 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-07 1 1 239,634 239,634 239,634 239,634 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-08 1 1 237,2118 237,2118 237,2118 237,2118 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-12 1 1 238,6664 238,6664 238,6664 238,6664 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-13 1 1 238,4812 238,4812 238,4812 238,4812 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-14 1 1 237,2617 237,2617 237,2617 237,2617 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-15 1 1 237,982 237,982 237,982 237,982 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-16 1 1 237,9635 237,9635 237,9635 237,9635 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-19 1 1 236,5546 236,5546 236,5546 236,5546 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-20 1 1 237,0314 237,0314 237,0314 237,0314 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-21 1 1 240,4361 240,4361 240,4361 240,4361 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-22 1 1 240,7241 240,7241 240,7241 240,7241 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-23 1 1 241,3841 241,3841 241,3841 241,3841 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-27 1 1 241,4867 241,4867 241,4867 241,4867 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-28 1 1 238,7276 238,7276 238,7276 238,7276 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-29 1 1 239,8174 239,8174 239,8174 239,8174 522581 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Globalfond SEK 2005-12-30 1 1 237,9907 237,9907 237,9907 237,9907 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-03 1 1 119,4589 119,4589 119,4589 119,4589 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-04 1 1 119,7892 119,7892 119,7892 119,7892 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-05 1 1 118,6013 118,6013 118,6013 118,6013 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-07 1 1 118,697 118,697 118,697 118,697 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-10 1 1 119,2391 119,2391 119,2391 119,2391 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-11 1 1 118,9381 118,9381 118,9381 118,9381 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-12 1 1 118,451 118,451 118,451 118,451 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-13 1 1 118,7335 118,7335 118,7335 118,7335 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-14 1 1 119,2072 119,2072 119,2072 119,2072 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-17 1 1 119,8057 119,8057 119,8057 119,8057 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-18 1 1 119,4607 119,4607 119,4607 119,4607 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-19 1 1 120,012 120,012 120,012 120,012 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-20 1 1 119,0131 119,0131 119,0131 119,0131 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-21 1 1 119,0447 119,0447 119,0447 119,0447 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-24 1 1 118,5605 118,5605 118,5605 118,5605 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-25 1 1 119,0629 119,0629 119,0629 119,0629 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-26 1 1 119,1158 119,1158 119,1158 119,1158 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-27 1 1 119,8594 119,8594 119,8594 119,8594 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-28 1 1 120,0842 120,0842 120,0842 120,0842 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-01-31 1 1 120,2688 120,2688 120,2688 120,2688 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-01 1 1 120,3314 120,3314 120,3314 120,3314 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-02 1 1 120,9617 120,9617 120,9617 120,9617 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-03 1 1 120,8213 120,8213 120,8213 120,8213 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-04 1 1 121,4075 121,4075 121,4075 121,4075 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-07 1 1 122,9591 122,9591 122,9591 122,9591 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-08 1 1 122,7584 122,7584 122,7584 122,7584 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-09 1 1 122,9468 122,9468 122,9468 122,9468 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-10 1 1 121,7392 121,7392 121,7392 121,7392 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-11 1 1 122,0895 122,0895 122,0895 122,0895 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-14 1 1 121,9839 121,9839 121,9839 121,9839 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-15 1 1 122,0846 122,0846 122,0846 122,0846 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-16 1 1 121,53 121,53 121,53 121,53 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-17 1 1 121,8249 121,8249 121,8249 121,8249 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-18 1 1 121,9389 121,9389 121,9389 121,9389 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-21 1 1 122,0999 122,0999 122,0999 122,0999 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-22 1 1 120,4171 120,4171 120,4171 120,4171 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-23 1 1 120,3951 120,3951 120,3951 120,3951 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-24 1 1 119,962 119,962 119,962 119,962 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-25 1 1 120,2756 120,2756 120,2756 120,2756 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-02-28 1 1 120,9829 120,9829 120,9829 120,9829 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-01 1 1 121,3333 121,3333 121,3333 121,3333 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-02 1 1 122,2662 122,2662 122,2662 122,2662 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-03 1 1 122,7856 122,7856 122,7856 122,7856 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-04 1 1 122,461 122,461 122,461 122,461 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-07 1 1 122,5084 122,5084 122,5084 122,5084 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-08 1 1 122,3373 122,3373 122,3373 122,3373 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-09 1 1 121,7768 121,7768 121,7768 121,7768 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-10 1 1 121,3047 121,3047 121,3047 121,3047 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-11 1 1 119,7715 119,7715 119,7715 119,7715 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-14 1 1 120,2266 120,2266 120,2266 120,2266 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-15 1 1 120,83 120,83 120,83 120,83 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-16 1 1 120,0476 120,0476 120,0476 120,0476 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-17 1 1 119,8843 119,8843 119,8843 119,8843 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-18 1 1 120,812 120,812 120,812 120,812 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-21 1 1 121,0821 121,0821 121,0821 121,0821 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-22 1 1 121,2896 121,2896 121,2896 121,2896 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-23 1 1 121,0083 121,0083 121,0083 121,0083 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-24 1 1 121,3088 121,3088 121,3088 121,3088 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-29 1 1 121,458 121,458 121,458 121,458 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-30 1 1 121,4866 121,4866 121,4866 121,4866 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-03-31 1 1 122,0474 122,0474 122,0474 122,0474 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-01 1 1 123,0029 123,0029 123,0029 123,0029 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-04 1 1 123,0249 123,0249 123,0249 123,0249 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-05 1 1 123,3451 123,3451 123,3451 123,3451 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-06 1 1 122,9949 122,9949 122,9949 122,9949 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-07 1 1 123,1456 123,1456 123,1456 123,1456 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-08 1 1 123,666 123,666 123,666 123,666 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-11 1 1 122,3602 122,3602 122,3602 122,3602 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-12 1 1 121,9207 121,9207 121,9207 121,9207 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-13 1 1 122,3034 122,3034 122,3034 122,3034 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-14 1 1 121,692 121,692 121,692 121,692 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-15 1 1 119,6259 119,6259 119,6259 119,6259 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-18 1 1 116,8584 116,8584 116,8584 116,8584 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-19 1 1 117,9345 117,9345 117,9345 117,9345 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-20 1 1 117,5122 117,5122 117,5122 117,5122 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-21 1 1 116,8015 116,8015 116,8015 116,8015 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-22 1 1 117,4336 117,4336 117,4336 117,4336 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-25 1 1 116,6887 116,6887 116,6887 116,6887 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-26 1 1 116,9314 116,9314 116,9314 116,9314 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-27 1 1 115,6332 115,6332 115,6332 115,6332 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-28 1 1 115,4481 115,4481 115,4481 115,4481 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-04-29 1 1 115,9569 115,9569 115,9569 115,9569 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-02 1 1 117,0591 117,0591 117,0591 117,0591 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-03 1 1 116,8691 116,8691 116,8691 116,8691 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-04 1 1 116,2874 116,2874 116,2874 116,2874 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-06 1 1 117,9547 117,9547 117,9547 117,9547 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-09 1 1 118,5398 118,5398 118,5398 118,5398 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-10 1 1 118,7717 118,7717 118,7717 118,7717 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-11 1 1 118,6667 118,6667 118,6667 118,6667 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-12 1 1 119,4788 119,4788 119,4788 119,4788 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-13 1 1 119,2191 119,2191 119,2191 119,2191 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-16 1 1 119,1501 119,1501 119,1501 119,1501 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-17 1 1 119,1921 119,1921 119,1921 119,1921 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-18 1 1 120,2389 120,2389 120,2389 120,2389 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-19 1 1 120,9316 120,9316 120,9316 120,9316 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-20 1 1 121,0406 121,0406 121,0406 121,0406 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-23 1 1 121,2912 121,2912 121,2912 121,2912 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-24 1 1 121,2996 121,2996 121,2996 121,2996 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-25 1 1 121,1755 121,1755 121,1755 121,1755 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-26 1 1 123,0925 123,0925 123,0925 123,0925 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-27 1 1 123,1004 123,1004 123,1004 123,1004 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-30 1 1 123,2848 123,2848 123,2848 123,2848 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-05-31 1 1 124,3251 124,3251 124,3251 124,3251 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-01 1 1 124,9966 124,9966 124,9966 124,9966 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-02 1 1 125,4594 125,4594 125,4594 125,4594 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-03 1 1 125,525 125,525 125,525 125,525 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-07 1 1 126,3105 126,3105 126,3105 126,3105 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-08 1 1 127,2891 127,2891 127,2891 127,2891 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-09 1 1 126,4276 126,4276 126,4276 126,4276 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-10 1 1 128,4977 128,4977 128,4977 128,4977 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-13 1 1 129,2584 129,2584 129,2584 129,2584 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-14 1 1 130,6417 130,6417 130,6417 130,6417 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-15 1 1 131,4422 131,4422 131,4422 131,4422 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-16 1 1 131,8743 131,8743 131,8743 131,8743 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-17 1 1 131,7048 131,7048 131,7048 131,7048 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-20 1 1 131,8049 131,8049 131,8049 131,8049 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-21 1 1 132,1916 132,1916 132,1916 132,1916 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-22 1 1 132,9254 132,9254 132,9254 132,9254 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-23 1 1 134,3813 134,3813 134,3813 134,3813 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-27 1 1 131,3321 131,3321 131,3321 131,3321 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-28 1 1 133,046 133,046 133,046 133,046 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-29 1 1 134,9192 134,9192 134,9192 134,9192 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-06-30 1 1 135,4466 135,4466 135,4466 135,4466 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-01 1 1 135,7552 135,7552 135,7552 135,7552 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-04 1 1 137,0268 137,0268 137,0268 137,0268 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-05 1 1 136,5612 136,5612 136,5612 136,5612 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-06 1 1 136,9609 136,9609 136,9609 136,9609 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-07 1 1 135,6542 135,6542 135,6542 135,6542 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-08 1 1 139,1459 139,1459 139,1459 139,1459 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-11 1 1 139,8506 139,8506 139,8506 139,8506 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-12 1 1 138,8938 138,8938 138,8938 138,8938 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-13 1 1 139,063 139,063 139,063 139,063 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-14 1 1 140,0098 140,0098 140,0098 140,0098 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-15 1 1 139,3285 139,3285 139,3285 139,3285 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-18 1 1 138,9865 138,9865 138,9865 138,9865 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-19 1 1 139,7659 139,7659 139,7659 139,7659 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-20 1 1 139,4705 139,4705 139,4705 139,4705 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-21 1 1 140,2609 140,2609 140,2609 140,2609 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-22 1 1 140,2764 140,2764 140,2764 140,2764 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-25 1 1 141,2454 141,2454 141,2454 141,2454 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-26 1 1 142,0576 142,0576 142,0576 142,0576 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-27 1 1 142,529 142,529 142,529 142,529 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-28 1 1 142,1625 142,1625 142,1625 142,1625 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-07-29 1 1 142,7215 142,7215 142,7215 142,7215 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-01 1 1 142,4746 142,4746 142,4746 142,4746 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-02 1 1 142,5437 142,5437 142,5437 142,5437 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-03 1 1 141,7343 141,7343 141,7343 141,7343 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-04 1 1 139,8006 139,8006 139,8006 139,8006 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-05 1 1 139,1768 139,1768 139,1768 139,1768 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-08 1 1 138,7176 138,7176 138,7176 138,7176 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-09 1 1 138,7154 138,7154 138,7154 138,7154 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-10 1 1 139,2712 139,2712 139,2712 139,2712 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-11 1 1 137,8038 137,8038 137,8038 137,8038 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-12 1 1 138,7736 138,7736 138,7736 138,7736 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-15 1 1 139,5759 139,5759 139,5759 139,5759 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-16 1 1 140,422 140,422 140,422 140,422 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-17 1 1 140,7152 140,7152 140,7152 140,7152 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-18 1 1 140,8857 140,8857 140,8857 140,8857 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-19 1 1 141,5187 141,5187 141,5187 141,5187 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-22 1 1 142,4591 142,4591 142,4591 142,4591 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-23 1 1 142,2972 142,2972 142,2972 142,2972 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-24 1 1 141,7958 141,7958 141,7958 141,7958 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-25 1 1 141,7237 141,7237 141,7237 141,7237 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-26 1 1 141,6109 141,6109 141,6109 141,6109 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-29 1 1 141,5264 141,5264 141,5264 141,5264 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-30 1 1 143,4038 143,4038 143,4038 143,4038 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-08-31 1 1 144,4446 144,4446 144,4446 144,4446 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-01 1 1 147,044 147,044 147,044 147,044 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-02 1 1 146,2677 146,2677 146,2677 146,2677 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-05 1 1 145,8433 145,8433 145,8433 145,8433 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-06 1 1 147,9904 147,9904 147,9904 147,9904 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-07 1 1 148,3859 148,3859 148,3859 148,3859 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-08 1 1 148,3364 148,3364 148,3364 148,3364 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-09 1 1 149,0875 149,0875 149,0875 149,0875 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-12 1 1 149,7618 149,7618 149,7618 149,7618 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-13 1 1 149,0044 149,0044 149,0044 149,0044 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-14 1 1 148,7011 148,7011 148,7011 148,7011 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-15 1 1 148,4428 148,4428 148,4428 148,4428 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-16 1 1 149,1072 149,1072 149,1072 149,1072 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-19 1 1 149,2157 149,2157 149,2157 149,2157 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-20 1 1 149,5659 149,5659 149,5659 149,5659 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-21 1 1 148,2883 148,2883 148,2883 148,2883 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-22 1 1 147,5744 147,5744 147,5744 147,5744 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-23 1 1 148,326 148,326 148,326 148,326 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-26 1 1 149,8879 149,8879 149,8879 149,8879 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-27 1 1 149,8476 149,8476 149,8476 149,8476 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-28 1 1 150,8256 150,8256 150,8256 150,8256 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-29 1 1 150,9427 150,9427 150,9427 150,9427 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-09-30 1 1 151,6029 151,6029 151,6029 151,6029 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-03 1 1 153,5815 153,5815 153,5815 153,5815 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-04 1 1 154,8636 154,8636 154,8636 154,8636 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-05 1 1 153,9435 153,9435 153,9435 153,9435 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-06 1 1 150,48 150,48 150,48 150,48 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-07 1 1 150,4587 150,4587 150,4587 150,4587 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-10 1 1 151,1549 151,1549 151,1549 151,1549 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-11 1 1 151,0477 151,0477 151,0477 151,0477 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-12 1 1 149,9667 149,9667 149,9667 149,9667 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-13 1 1 147,6002 147,6002 147,6002 147,6002 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-14 1 1 147,8809 147,8809 147,8809 147,8809 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-17 1 1 148,6061 148,6061 148,6061 148,6061 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-18 1 1 147,9995 147,9995 147,9995 147,9995 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-19 1 1 144,8186 144,8186 144,8186 144,8186 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-20 1 1 146,5378 146,5378 146,5378 146,5378 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-21 1 1 144,7319 144,7319 144,7319 144,7319 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-24 1 1 147,1917 147,1917 147,1917 147,1917 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-25 1 1 146,9887 146,9887 146,9887 146,9887 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-26 1 1 146,3297 146,3297 146,3297 146,3297 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-27 1 1 146,1943 146,1943 146,1943 146,1943 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-28 1 1 145,8862 145,8862 145,8862 145,8862 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-10-31 1 1 148,6485 148,6485 148,6485 148,6485 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-01 1 1 149,4854 149,4854 149,4854 149,4854 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-02 1 1 150,3463 150,3463 150,3463 150,3463 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-03 1 1 152,137 152,137 152,137 152,137 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-04 1 1 152,1914 152,1914 152,1914 152,1914 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-07 1 1 153,501 153,501 153,501 153,501 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-08 1 1 152,3373 152,3373 152,3373 152,3373 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-09 1 1 153,0891 153,0891 153,0891 153,0891 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-10 1 1 153,1751 153,1751 153,1751 153,1751 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-11 1 1 152,9287 152,9287 152,9287 152,9287 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-14 1 1 153,0337 153,0337 153,0337 153,0337 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-15 1 1 153,7751 153,7751 153,7751 153,7751 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-16 1 1 152,0827 152,0827 152,0827 152,0827 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-17 1 1 151,8373 151,8373 151,8373 151,8373 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-18 1 1 151,8525 151,8525 151,8525 151,8525 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-21 1 1 151,2107 151,2107 151,2107 151,2107 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-22 1 1 151,1494 151,1494 151,1494 151,1494 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-23 1 1 151,1496 151,1496 151,1496 151,1496 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-24 1 1 151,1563 151,1563 151,1563 151,1563 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-25 1 1 151,1757 151,1757 151,1757 151,1757 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-28 1 1 151,1805 151,1805 151,1805 151,1805 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-29 1 1 151,1864 151,1864 151,1864 151,1864 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-11-30 1 1 151,1908 151,1908 151,1908 151,1908 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-12-01 1 1 151,1955 151,1955 151,1955 151,1955 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-12-02 1 1 151,2892 151,2892 151,2892 151,2892 277913 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Miljöteknikfond SEK 2005-12-05 1 1 151,3077 151,3077 151,3077 151,3077 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-03 1 1 146,317 146,317 146,317 146,317 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-04 1 1 146,7837 146,7837 146,7837 146,7837 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-05 1 1 146,7667 146,7667 146,7667 146,7667 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-07 1 1 147,9595 147,9595 147,9595 147,9595 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-10 1 1 148,8122 148,8122 148,8122 148,8122 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-11 1 1 147,5444 147,5444 147,5444 147,5444 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-12 1 1 146,3854 146,3854 146,3854 146,3854 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-13 1 1 147,1852 147,1852 147,1852 147,1852 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-14 1 1 147,446 147,446 147,446 147,446 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-17 1 1 148,5728 148,5728 148,5728 148,5728 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-18 1 1 148,5116 148,5116 148,5116 148,5116 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-19 1 1 149,4224 149,4224 149,4224 149,4224 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-20 1 1 148,9456 148,9456 148,9456 148,9456 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-21 1 1 148,3262 148,3262 148,3262 148,3262 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-24 1 1 146,4582 146,4582 146,4582 146,4582 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-25 1 1 148,2903 148,2903 148,2903 148,2903 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-26 1 1 148,5111 148,5111 148,5111 148,5111 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-27 1 1 147,908 147,908 147,908 147,908 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-28 1 1 148,735 148,735 148,735 148,735 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-01-31 1 1 149,7559 149,7559 149,7559 149,7559 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-01 1 1 150,2087 150,2087 150,2087 150,2087 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-02 1 1 150,4509 150,4509 150,4509 150,4509 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-03 1 1 151,1472 151,1472 151,1472 151,1472 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-04 1 1 151,2081 151,2081 151,2081 151,2081 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-07 1 1 154,0847 154,0847 154,0847 154,0847 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-08 1 1 154,7021 154,7021 154,7021 154,7021 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-09 1 1 154,2649 154,2649 154,2649 154,2649 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-10 1 1 152,3951 152,3951 152,3951 152,3951 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-11 1 1 152,5824 152,5824 152,5824 152,5824 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-14 1 1 153,0622 153,0622 153,0622 153,0622 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-15 1 1 152,3112 152,3112 152,3112 152,3112 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-16 1 1 152,3547 152,3547 152,3547 152,3547 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-17 1 1 152,8343 152,8343 152,8343 152,8343 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-18 1 1 151,1722 151,1722 151,1722 151,1722 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-21 1 1 151,4336 151,4336 151,4336 151,4336 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-22 1 1 148,7645 148,7645 148,7645 148,7645 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-23 1 1 147,961 147,961 147,961 147,961 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-24 1 1 148,1392 148,1392 148,1392 148,1392 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-25 1 1 149,9282 149,9282 149,9282 149,9282 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-02-28 1 1 149,878 149,878 149,878 149,878 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-01 1 1 149,9679 149,9679 149,9679 149,9679 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-02 1 1 150,8901 150,8901 150,8901 150,8901 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-03 1 1 151,8158 151,8158 151,8158 151,8158 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-04 1 1 150,8131 150,8131 150,8131 150,8131 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-07 1 1 151,9821 151,9821 151,9821 151,9821 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-08 1 1 150,9354 150,9354 150,9354 150,9354 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-09 1 1 149,2224 149,2224 149,2224 149,2224 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-10 1 1 148,1557 148,1557 148,1557 148,1557 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-11 1 1 147,2864 147,2864 147,2864 147,2864 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-14 1 1 147,6955 147,6955 147,6955 147,6955 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-15 1 1 149,3399 149,3399 149,3399 149,3399 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-16 1 1 146,4846 146,4846 146,4846 146,4846 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-17 1 1 146,6295 146,6295 146,6295 146,6295 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-18 1 1 147,5971 147,5971 147,5971 147,5971 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-21 1 1 148,855 148,855 148,855 148,855 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-22 1 1 148,2301 148,2301 148,2301 148,2301 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-23 1 1 148,5503 148,5503 148,5503 148,5503 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-24 1 1 149,5199 149,5199 149,5199 149,5199 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-29 1 1 150,3369 150,3369 150,3369 150,3369 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-30 1 1 148,2627 148,2627 148,2627 148,2627 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-03-31 1 1 150,5091 150,5091 150,5091 150,5091 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-01 1 1 150,5262 150,5262 150,5262 150,5262 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-04 1 1 151,162 151,162 151,162 151,162 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-05 1 1 152,0989 152,0989 152,0989 152,0989 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-06 1 1 152,2444 152,2444 152,2444 152,2444 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-07 1 1 152,1357 152,1357 152,1357 152,1357 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-08 1 1 153,902 153,902 153,902 153,902 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-11 1 1 151,3312 151,3312 151,3312 151,3312 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-12 1 1 151,3176 151,3176 151,3176 151,3176 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-13 1 1 152,2784 152,2784 152,2784 152,2784 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-14 1 1 152,7979 152,7979 152,7979 152,7979 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-15 1 1 151,0727 151,0727 151,0727 151,0727 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-18 1 1 148,3703 148,3703 148,3703 148,3703 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-19 1 1 148,7337 148,7337 148,7337 148,7337 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-20 1 1 147,8961 147,8961 147,8961 147,8961 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-21 1 1 147,3225 147,3225 147,3225 147,3225 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-22 1 1 148,0897 148,0897 148,0897 148,0897 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-25 1 1 148,6983 148,6983 148,6983 148,6983 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-26 1 1 149,1001 149,1001 149,1001 149,1001 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-27 1 1 147,3827 147,3827 147,3827 147,3827 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-28 1 1 148,414 148,414 148,414 148,414 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-04-29 1 1 147,9739 147,9739 147,9739 147,9739 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-02 1 1 150,1963 150,1963 150,1963 150,1963 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-03 1 1 150,1614 150,1614 150,1614 150,1614 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-04 1 1 149,2632 149,2632 149,2632 149,2632 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-06 1 1 151,8832 151,8832 151,8832 151,8832 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-09 1 1 151,2717 151,2717 151,2717 151,2717 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-10 1 1 151,4216 151,4216 151,4216 151,4216 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-11 1 1 152,0833 152,0833 152,0833 152,0833 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-12 1 1 154,3934 154,3934 154,3934 154,3934 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-13 1 1 153,2713 153,2713 153,2713 153,2713 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-16 1 1 153,2016 153,2016 153,2016 153,2016 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-17 1 1 153,6832 153,6832 153,6832 153,6832 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-18 1 1 155,7113 155,7113 155,7113 155,7113 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-19 1 1 156,536 156,536 156,536 156,536 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-20 1 1 157,1865 157,1865 157,1865 157,1865 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-23 1 1 157,2046 157,2046 157,2046 157,2046 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-24 1 1 157,6622 157,6622 157,6622 157,6622 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-25 1 1 156,7748 156,7748 156,7748 156,7748 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-26 1 1 158,6301 158,6301 158,6301 158,6301 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-27 1 1 158,5295 158,5295 158,5295 158,5295 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-30 1 1 159,438 159,438 159,438 159,438 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-05-31 1 1 160,0631 160,0631 160,0631 160,0631 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-01 1 1 161,3292 161,3292 161,3292 161,3292 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-02 1 1 162,3428 162,3428 162,3428 162,3428 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-03 1 1 162,3725 162,3725 162,3725 162,3725 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-07 1 1 161,7432 161,7432 161,7432 161,7432 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-08 1 1 161,1415 161,1415 161,1415 161,1415 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-09 1 1 161,6351 161,6351 161,6351 161,6351 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-10 1 1 164,177 164,177 164,177 164,177 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-13 1 1 165,7646 165,7646 165,7646 165,7646 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-14 1 1 166,2248 166,2248 166,2248 166,2248 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-15 1 1 165,933 165,933 165,933 165,933 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-16 1 1 166,0856 166,0856 166,0856 166,0856 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-17 1 1 165,7905 165,7905 165,7905 165,7905 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-20 1 1 166,1346 166,1346 166,1346 166,1346 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-21 1 1 166,5888 166,5888 166,5888 166,5888 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-22 1 1 167,2686 167,2686 167,2686 167,2686 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-23 1 1 169,0845 169,0845 169,0845 169,0845 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-27 1 1 165,4628 165,4628 165,4628 165,4628 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-28 1 1 167,2926 167,2926 167,2926 167,2926 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-29 1 1 169,316 169,316 169,316 169,316 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-06-30 1 1 168,2372 168,2372 168,2372 168,2372 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-01 1 1 167,8853 167,8853 167,8853 167,8853 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-04 1 1 169,6981 169,6981 169,6981 169,6981 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-05 1 1 168,6263 168,6263 168,6263 168,6263 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-06 1 1 169,6986 169,6986 169,6986 169,6986 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-07 1 1 167,7852 167,7852 167,7852 167,7852 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-08 1 1 169,885 169,885 169,885 169,885 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-11 1 1 171,7071 171,7071 171,7071 171,7071 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-12 1 1 169,5 169,5 169,5 169,5 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-13 1 1 170,1603 170,1603 170,1603 170,1603 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-14 1 1 171,2638 171,2638 171,2638 171,2638 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-15 1 1 171,6034 171,6034 171,6034 171,6034 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-18 1 1 170,8186 170,8186 170,8186 170,8186 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-19 1 1 172,8957 172,8957 172,8957 172,8957 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-20 1 1 172,7246 172,7246 172,7246 172,7246 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-21 1 1 173,2931 173,2931 173,2931 173,2931 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-22 1 1 174,133 174,133 174,133 174,133 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-25 1 1 174,7686 174,7686 174,7686 174,7686 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-26 1 1 176,2449 176,2449 176,2449 176,2449 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-27 1 1 176,0383 176,0383 176,0383 176,0383 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-28 1 1 175,6851 175,6851 175,6851 175,6851 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-07-29 1 1 176,154 176,154 176,154 176,154 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-01 1 1 174,2109 174,2109 174,2109 174,2109 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-02 1 1 174,3235 174,3235 174,3235 174,3235 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-03 1 1 174,0911 174,0911 174,0911 174,0911 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-04 1 1 171,8534 171,8534 171,8534 171,8534 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-05 1 1 170,9574 170,9574 170,9574 170,9574 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-08 1 1 170,4904 170,4904 170,4904 170,4904 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-09 1 1 170,2479 170,2479 170,2479 170,2479 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-10 1 1 170,1427 170,1427 170,1427 170,1427 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-11 1 1 168,9414 168,9414 168,9414 168,9414 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-12 1 1 168,4222 168,4222 168,4222 168,4222 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-15 1 1 169,1102 169,1102 169,1102 169,1102 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-16 1 1 170,0139 170,0139 170,0139 170,0139 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-17 1 1 169,2208 169,2208 169,2208 169,2208 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-18 1 1 169,9741 169,9741 169,9741 169,9741 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-19 1 1 171,5879 171,5879 171,5879 171,5879 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-22 1 1 171,7222 171,7222 171,7222 171,7222 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-23 1 1 171,1222 171,1222 171,1222 171,1222 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-24 1 1 169,5636 169,5636 169,5636 169,5636 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-25 1 1 169,406 169,406 169,406 169,406 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-26 1 1 167,9937 167,9937 167,9937 167,9937 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-29 1 1 168,3624 168,3624 168,3624 168,3624 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-30 1 1 170,4342 170,4342 170,4342 170,4342 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-08-31 1 1 169,6424 169,6424 169,6424 169,6424 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-01 1 1 169,4611 169,4611 169,4611 169,4611 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-02 1 1 167,2014 167,2014 167,2014 167,2014 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-05 1 1 166,4206 166,4206 166,4206 166,4206 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-06 1 1 168,5197 168,5197 168,5197 168,5197 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-07 1 1 170,5472 170,5472 170,5472 170,5472 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-08 1 1 170,61 170,61 170,61 170,61 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-09 1 1 170,8606 170,8606 170,8606 170,8606 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-12 1 1 172,838 172,838 172,838 172,838 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-13 1 1 172,277 172,277 172,277 172,277 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-14 1 1 171,2847 171,2847 171,2847 171,2847 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-15 1 1 172,2631 172,2631 172,2631 172,2631 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-16 1 1 172,4333 172,4333 172,4333 172,4333 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-19 1 1 174,3009 174,3009 174,3009 174,3009 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-20 1 1 173,8689 173,8689 173,8689 173,8689 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-21 1 1 170,6783 170,6783 170,6783 170,6783 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-22 1 1 171,0819 171,0819 171,0819 171,0819 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-23 1 1 172,4386 172,4386 172,4386 172,4386 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-26 1 1 173,714 173,714 173,714 173,714 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-27 1 1 173,29 173,29 173,29 173,29 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-28 1 1 174,193 174,193 174,193 174,193 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-29 1 1 172,9434 172,9434 172,9434 172,9434 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-09-30 1 1 173,344 173,344 173,344 173,344 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-03 1 1 176,0131 176,0131 176,0131 176,0131 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-04 1 1 174,1349 174,1349 174,1349 174,1349 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-05 1 1 171,5072 171,5072 171,5072 171,5072 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-06 1 1 166,9119 166,9119 166,9119 166,9119 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-07 1 1 167,884 167,884 167,884 167,884 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-10 1 1 168,3073 168,3073 168,3073 168,3073 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-11 1 1 169,6205 169,6205 169,6205 169,6205 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-12 1 1 168,5531 168,5531 168,5531 168,5531 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-13 1 1 168,8976 168,8976 168,8976 168,8976 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-14 1 1 169,2176 169,2176 169,2176 169,2176 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-17 1 1 170,2892 170,2892 170,2892 170,2892 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-18 1 1 171,2211 171,2211 171,2211 171,2211 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-19 1 1 168,756 168,756 168,756 168,756 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-20 1 1 172,1418 172,1418 172,1418 172,1418 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-21 1 1 169,5542 169,5542 169,5542 169,5542 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-24 1 1 171,2608 171,2608 171,2608 171,2608 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-25 1 1 170,7847 170,7847 170,7847 170,7847 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-26 1 1 171,1736 171,1736 171,1736 171,1736 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-27 1 1 169,6132 169,6132 169,6132 169,6132 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-28 1 1 168,7765 168,7765 168,7765 168,7765 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-10-31 1 1 173,5363 173,5363 173,5363 173,5363 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-01 1 1 174,9655 174,9655 174,9655 174,9655 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-02 1 1 175,4385 175,4385 175,4385 175,4385 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-03 1 1 178,4775 178,4775 178,4775 178,4775 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-04 1 1 180,3241 180,3241 180,3241 180,3241 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-07 1 1 181,2749 181,2749 181,2749 181,2749 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-08 1 1 179,6234 179,6234 179,6234 179,6234 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-09 1 1 181,4307 181,4307 181,4307 181,4307 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-10 1 1 181,5878 181,5878 181,5878 181,5878 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-11 1 1 182,6692 182,6692 182,6692 182,6692 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-14 1 1 183,1928 183,1928 183,1928 183,1928 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-15 1 1 184,2442 184,2442 184,2442 184,2442 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-16 1 1 183,8309 183,8309 183,8309 183,8309 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-17 1 1 183,9927 183,9927 183,9927 183,9927 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-18 1 1 184,8304 184,8304 184,8304 184,8304 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-21 1 1 183,8087 183,8087 183,8087 183,8087 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-22 1 1 185,7417 185,7417 185,7417 185,7417 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-23 1 1 183,7431 183,7431 183,7431 183,7431 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-24 1 1 184,7331 184,7331 184,7331 184,7331 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-25 1 1 184,9144 184,9144 184,9144 184,9144 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-28 1 1 183,4739 183,4739 183,4739 183,4739 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-29 1 1 183,7456 183,7456 183,7456 183,7456 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-11-30 1 1 183,2678 183,2678 183,2678 183,2678 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-01 1 1 184,6603 184,6603 184,6603 184,6603 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-02 1 1 184,2913 184,2913 184,2913 184,2913 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-05 1 1 183,5275 183,5275 183,5275 183,5275 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-06 1 1 182,2077 182,2077 182,2077 182,2077 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-07 1 1 183,0058 183,0058 183,0058 183,0058 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-08 1 1 181,5026 181,5026 181,5026 181,5026 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-12 1 1 180,1154 180,1154 180,1154 180,1154 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-13 1 1 180,5107 180,5107 180,5107 180,5107 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-14 1 1 179,4069 179,4069 179,4069 179,4069 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-15 1 1 180,6428 180,6428 180,6428 180,6428 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-16 1 1 180,3761 180,3761 180,3761 180,3761 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-19 1 1 178,7167 178,7167 178,7167 178,7167 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-20 1 1 178,421 178,421 178,421 178,421 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-21 1 1 180,8035 180,8035 180,8035 180,8035 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-22 1 1 180,2746 180,2746 180,2746 180,2746 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-23 1 1 181,1502 181,1502 181,1502 181,1502 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-27 1 1 181,0555 181,0555 181,0555 181,0555 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-28 1 1 178,1665 178,1665 178,1665 178,1665 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-29 1 1 179,3309 179,3309 179,3309 179,3309 456475 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Nordamerikafond SEK 2005-12-30 1 1 177,6931 177,6931 177,6931 177,6931 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-03 1 1 144,0835 144,0835 144,0835 144,0835 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-04 1 1 144,0735 144,0735 144,0735 144,0735 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-05 1 1 143,8761 143,8761 143,8761 143,8761 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-07 1 1 144,3222 144,3222 144,3222 144,3222 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-10 1 1 144,4967 144,4967 144,4967 144,4967 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-11 1 1 144,5058 144,5058 144,5058 144,5058 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-12 1 1 144,4937 144,4937 144,4937 144,4937 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-13 1 1 144,6676 144,6676 144,6676 144,6676 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-14 1 1 144,7089 144,7089 144,7089 144,7089 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-17 1 1 144,8236 144,8236 144,8236 144,8236 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-18 1 1 144,762 144,762 144,762 144,762 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-19 1 1 144,9369 144,9369 144,9369 144,9369 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-20 1 1 144,7578 144,7578 144,7578 144,7578 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-21 1 1 144,9452 144,9452 144,9452 144,9452 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-24 1 1 145,1998 145,1998 145,1998 145,1998 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-25 1 1 145,1604 145,1604 145,1604 145,1604 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-26 1 1 145,0585 145,0585 145,0585 145,0585 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-27 1 1 144,9467 144,9467 144,9467 144,9467 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-28 1 1 145,1805 145,1805 145,1805 145,1805 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-01-31 1 1 145,2397 145,2397 145,2397 145,2397 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-01 1 1 145,3957 145,3957 145,3957 145,3957 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-02 1 1 145,3624 145,3624 145,3624 145,3624 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-03 1 1 145,2929 145,2929 145,2929 145,2929 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-04 1 1 145,4992 145,4992 145,4992 145,4992 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-07 1 1 145,5795 145,5795 145,5795 145,5795 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-08 1 1 145,5153 145,5153 145,5153 145,5153 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-09 1 1 145,7207 145,7207 145,7207 145,7207 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-10 1 1 145,8985 145,8985 145,8985 145,8985 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-11 1 1 145,8691 145,8691 145,8691 145,8691 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-14 1 1 145,7202 145,7202 145,7202 145,7202 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-15 1 1 145,6909 145,6909 145,6909 145,6909 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-16 1 1 145,7539 145,7539 145,7539 145,7539 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-17 1 1 145,7241 145,7241 145,7241 145,7241 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-18 1 1 145,2877 145,2877 145,2877 145,2877 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-21 1 1 145,075 145,075 145,075 145,075 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-22 1 1 144,9491 144,9491 144,9491 144,9491 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-23 1 1 145,1431 145,1431 145,1431 145,1431 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-24 1 1 144,9745 144,9745 144,9745 144,9745 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-25 1 1 144,8992 144,8992 144,8992 144,8992 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-02-28 1 1 145,1252 145,1252 145,1252 145,1252 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-01 1 1 145,0849 145,0849 145,0849 145,0849 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-02 1 1 144,8889 144,8889 144,8889 144,8889 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-03 1 1 145,0094 145,0094 145,0094 145,0094 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-04 1 1 145,275 145,275 145,275 145,275 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-07 1 1 145,4536 145,4536 145,4536 145,4536 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-08 1 1 145,5483 145,5483 145,5483 145,5483 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-09 1 1 145,3394 145,3394 145,3394 145,3394 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-10 1 1 145,3531 145,3531 145,3531 145,3531 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-11 1 1 139,7865 139,7865 139,7865 139,7865 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-14 1 1 139,8452 139,8452 139,8452 139,8452 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-15 1 1 140,0325 140,0325 140,0325 140,0325 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-16 1 1 139,8688 139,8688 139,8688 139,8688 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-17 1 1 139,9246 139,9246 139,9246 139,9246 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-18 1 1 139,8977 139,8977 139,8977 139,8977 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-21 1 1 139,8178 139,8178 139,8178 139,8178 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-22 1 1 139,9392 139,9392 139,9392 139,9392 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-23 1 1 139,8504 139,8504 139,8504 139,8504 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-24 1 1 139,9213 139,9213 139,9213 139,9213 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-29 1 1 140,0185 140,0185 140,0185 140,0185 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-30 1 1 140,0846 140,0846 140,0846 140,0846 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-03-31 1 1 140,3452 140,3452 140,3452 140,3452 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-01 1 1 140,5313 140,5313 140,5313 140,5313 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-04 1 1 140,6223 140,6223 140,6223 140,6223 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-05 1 1 140,6074 140,6074 140,6074 140,6074 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-06 1 1 140,6769 140,6769 140,6769 140,6769 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-07 1 1 140,7432 140,7432 140,7432 140,7432 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-08 1 1 140,5607 140,5607 140,5607 140,5607 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-11 1 1 140,7236 140,7236 140,7236 140,7236 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-12 1 1 140,761 140,761 140,761 140,761 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-13 1 1 140,9615 140,9615 140,9615 140,9615 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-14 1 1 141,0537 141,0537 141,0537 141,0537 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-15 1 1 141,3359 141,3359 141,3359 141,3359 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-18 1 1 141,4497 141,4497 141,4497 141,4497 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-19 1 1 141,5023 141,5023 141,5023 141,5023 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-20 1 1 141,4853 141,4853 141,4853 141,4853 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-21 1 1 141,5113 141,5113 141,5113 141,5113 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-22 1 1 141,7165 141,7165 141,7165 141,7165 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-25 1 1 141,8691 141,8691 141,8691 141,8691 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-26 1 1 141,9852 141,9852 141,9852 141,9852 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-27 1 1 142,2193 142,2193 142,2193 142,2193 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-28 1 1 142,3614 142,3614 142,3614 142,3614 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-04-29 1 1 142,4481 142,4481 142,4481 142,4481 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-02 1 1 142,5658 142,5658 142,5658 142,5658 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-03 1 1 142,6148 142,6148 142,6148 142,6148 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-04 1 1 142,3497 142,3497 142,3497 142,3497 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-06 1 1 142,0879 142,0879 142,0879 142,0879 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-09 1 1 142,2112 142,2112 142,2112 142,2112 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-10 1 1 142,6429 142,6429 142,6429 142,6429 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-11 1 1 142,7754 142,7754 142,7754 142,7754 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-12 1 1 142,6493 142,6493 142,6493 142,6493 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-13 1 1 142,9233 142,9233 142,9233 142,9233 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-16 1 1 143,0107 143,0107 143,0107 143,0107 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-17 1 1 143,037 143,037 143,037 143,037 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-18 1 1 143,349 143,349 143,349 143,349 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-19 1 1 143,2447 143,2447 143,2447 143,2447 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-20 1 1 143,0055 143,0055 143,0055 143,0055 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-23 1 1 143,0899 143,0899 143,0899 143,0899 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-24 1 1 143,2211 143,2211 143,2211 143,2211 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-25 1 1 143,3695 143,3695 143,3695 143,3695 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-26 1 1 143,1547 143,1547 143,1547 143,1547 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-27 1 1 143,2137 143,2137 143,2137 143,2137 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-30 1 1 143,1076 143,1076 143,1076 143,1076 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-05-31 1 1 143,4903 143,4903 143,4903 143,4903 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-01 1 1 143,7235 143,7235 143,7235 143,7235 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-02 1 1 143,8146 143,8146 143,8146 143,8146 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-03 1 1 144,1832 144,1832 144,1832 144,1832 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-07 1 1 144,2295 144,2295 144,2295 144,2295 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-08 1 1 144,6402 144,6402 144,6402 144,6402 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-09 1 1 144,6172 144,6172 144,6172 144,6172 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-10 1 1 144,5569 144,5569 144,5569 144,5569 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-13 1 1 144,5355 144,5355 144,5355 144,5355 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-14 1 1 144,3144 144,3144 144,3144 144,3144 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-15 1 1 144,0198 144,0198 144,0198 144,0198 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-16 1 1 143,8716 143,8716 143,8716 143,8716 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-17 1 1 144,1385 144,1385 144,1385 144,1385 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-20 1 1 144,1137 144,1137 144,1137 144,1137 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-21 1 1 144,8324 144,8324 144,8324 144,8324 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-22 1 1 145,2697 145,2697 145,2697 145,2697 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-23 1 1 145,2034 145,2034 145,2034 145,2034 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-27 1 1 145,4239 145,4239 145,4239 145,4239 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-28 1 1 145,2093 145,2093 145,2093 145,2093 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-29 1 1 145,4179 145,4179 145,4179 145,4179 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-06-30 1 1 145,4111 145,4111 145,4111 145,4111 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-01 1 1 145,5361 145,5361 145,5361 145,5361 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-04 1 1 145,2801 145,2801 145,2801 145,2801 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-05 1 1 144,9938 144,9938 144,9938 144,9938 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-06 1 1 145,0832 145,0832 145,0832 145,0832 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-07 1 1 145,3706 145,3706 145,3706 145,3706 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-08 1 1 145,4173 145,4173 145,4173 145,4173 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-11 1 1 145,1879 145,1879 145,1879 145,1879 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-12 1 1 145,0595 145,0595 145,0595 145,0595 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-13 1 1 144,9435 144,9435 144,9435 144,9435 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-14 1 1 144,8304 144,8304 144,8304 144,8304 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-15 1 1 144,766 144,766 144,766 144,766 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-18 1 1 144,8941 144,8941 144,8941 144,8941 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-19 1 1 144,8284 144,8284 144,8284 144,8284 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-20 1 1 144,8682 144,8682 144,8682 144,8682 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-21 1 1 144,9221 144,9221 144,9221 144,9221 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-22 1 1 145,1751 145,1751 145,1751 145,1751 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-25 1 1 145,3289 145,3289 145,3289 145,3289 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-26 1 1 145,2264 145,2264 145,2264 145,2264 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-27 1 1 145,4195 145,4195 145,4195 145,4195 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-28 1 1 145,2413 145,2413 145,2413 145,2413 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-07-29 1 1 144,9465 144,9465 144,9465 144,9465 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-01 1 1 144,5544 144,5544 144,5544 144,5544 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-02 1 1 144,3461 144,3461 144,3461 144,3461 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-03 1 1 144,1785 144,1785 144,1785 144,1785 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-04 1 1 144,3754 144,3754 144,3754 144,3754 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-05 1 1 144,0686 144,0686 144,0686 144,0686 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-08 1 1 144,0618 144,0618 144,0618 144,0618 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-09 1 1 144,1143 144,1143 144,1143 144,1143 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-10 1 1 144,3162 144,3162 144,3162 144,3162 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-11 1 1 144,3614 144,3614 144,3614 144,3614 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-12 1 1 144,4753 144,4753 144,4753 144,4753 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-15 1 1 144,574 144,574 144,574 144,574 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-16 1 1 144,6816 144,6816 144,6816 144,6816 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-17 1 1 144,6453 144,6453 144,6453 144,6453 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-18 1 1 144,6325 144,6325 144,6325 144,6325 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-19 1 1 144,5435 144,5435 144,5435 144,5435 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-22 1 1 144,7182 144,7182 144,7182 144,7182 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-23 1 1 144,9555 144,9555 144,9555 144,9555 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-24 1 1 144,885 144,885 144,885 144,885 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-25 1 1 145,0449 145,0449 145,0449 145,0449 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-26 1 1 145,0637 145,0637 145,0637 145,0637 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-29 1 1 144,973 144,973 144,973 144,973 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-30 1 1 144,9739 144,9739 144,9739 144,9739 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-08-31 1 1 145,2557 145,2557 145,2557 145,2557 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-01 1 1 145,4725 145,4725 145,4725 145,4725 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-02 1 1 145,5361 145,5361 145,5361 145,5361 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-05 1 1 145,644 145,644 145,644 145,644 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-06 1 1 145,4812 145,4812 145,4812 145,4812 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-07 1 1 145,4808 145,4808 145,4808 145,4808 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-08 1 1 145,6373 145,6373 145,6373 145,6373 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-09 1 1 145,7747 145,7747 145,7747 145,7747 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-12 1 1 145,4183 145,4183 145,4183 145,4183 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-13 1 1 145,4581 145,4581 145,4581 145,4581 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-14 1 1 145,3498 145,3498 145,3498 145,3498 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-15 1 1 145,307 145,307 145,307 145,307 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-16 1 1 145,1976 145,1976 145,1976 145,1976 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-19 1 1 145,2227 145,2227 145,2227 145,2227 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-20 1 1 145,4159 145,4159 145,4159 145,4159 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-21 1 1 145,6882 145,6882 145,6882 145,6882 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-22 1 1 145,6373 145,6373 145,6373 145,6373 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-23 1 1 145,3865 145,3865 145,3865 145,3865 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-26 1 1 145,2043 145,2043 145,2043 145,2043 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-27 1 1 145,2296 145,2296 145,2296 145,2296 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-28 1 1 145,1037 145,1037 145,1037 145,1037 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-29 1 1 144,8657 144,8657 144,8657 144,8657 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-09-30 1 1 144,9254 144,9254 144,9254 144,9254 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-03 1 1 144,5407 144,5407 144,5407 144,5407 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-04 1 1 144,6575 144,6575 144,6575 144,6575 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-05 1 1 144,7123 144,7123 144,7123 144,7123 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-06 1 1 144,6284 144,6284 144,6284 144,6284 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-07 1 1 144,5828 144,5828 144,5828 144,5828 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-10 1 1 144,6139 144,6139 144,6139 144,6139 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-11 1 1 144,553 144,553 144,553 144,553 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-12 1 1 144,447 144,447 144,447 144,447 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-13 1 1 144,3903 144,3903 144,3903 144,3903 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-14 1 1 144,429 144,429 144,429 144,429 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-17 1 1 144,4252 144,4252 144,4252 144,4252 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-18 1 1 144,4446 144,4446 144,4446 144,4446 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-19 1 1 144,6242 144,6242 144,6242 144,6242 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-20 1 1 144,5051 144,5051 144,5051 144,5051 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-21 1 1 144,6626 144,6626 144,6626 144,6626 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-24 1 1 144,7414 144,7414 144,7414 144,7414 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-25 1 1 144,5795 144,5795 144,5795 144,5795 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-26 1 1 144,2071 144,2071 144,2071 144,2071 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-27 1 1 144,2606 144,2606 144,2606 144,2606 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-28 1 1 144,1906 144,1906 144,1906 144,1906 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-10-31 1 1 144,1171 144,1171 144,1171 144,1171 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-01 1 1 144,0627 144,0627 144,0627 144,0627 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-02 1 1 143,8804 143,8804 143,8804 143,8804 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-03 1 1 143,7761 143,7761 143,7761 143,7761 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-04 1 1 143,5884 143,5884 143,5884 143,5884 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-07 1 1 143,4991 143,4991 143,4991 143,4991 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-08 1 1 143,5912 143,5912 143,5912 143,5912 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-09 1 1 143,4548 143,4548 143,4548 143,4548 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-10 1 1 143,5319 143,5319 143,5319 143,5319 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-11 1 1 143,6198 143,6198 143,6198 143,6198 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-14 1 1 143,718 143,718 143,718 143,718 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-15 1 1 143,6474 143,6474 143,6474 143,6474 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-16 1 1 143,8819 143,8819 143,8819 143,8819 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-17 1 1 143,7924 143,7924 143,7924 143,7924 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-18 1 1 143,5162 143,5162 143,5162 143,5162 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-21 1 1 143,7322 143,7322 143,7322 143,7322 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-22 1 1 143,7163 143,7163 143,7163 143,7163 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-23 1 1 143,7867 143,7867 143,7867 143,7867 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-24 1 1 144,0264 144,0264 144,0264 144,0264 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-25 1 1 143,8742 143,8742 143,8742 143,8742 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-28 1 1 143,9123 143,9123 143,9123 143,9123 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-29 1 1 143,8846 143,8846 143,8846 143,8846 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-11-30 1 1 143,7755 143,7755 143,7755 143,7755 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-01 1 1 143,878 143,878 143,878 143,878 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-02 1 1 143,6755 143,6755 143,6755 143,6755 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-05 1 1 143,5024 143,5024 143,5024 143,5024 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-06 1 1 143,513 143,513 143,513 143,513 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-07 1 1 143,5472 143,5472 143,5472 143,5472 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-08 1 1 143,5246 143,5246 143,5246 143,5246 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-12 1 1 143,4318 143,4318 143,4318 143,4318 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-13 1 1 143,5471 143,5471 143,5471 143,5471 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-14 1 1 143,7426 143,7426 143,7426 143,7426 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-15 1 1 143,779 143,779 143,779 143,779 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-16 1 1 143,7501 143,7501 143,7501 143,7501 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-19 1 1 143,9197 143,9197 143,9197 143,9197 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-20 1 1 143,8845 143,8845 143,8845 143,8845 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-21 1 1 143,6853 143,6853 143,6853 143,6853 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-22 1 1 143,5994 143,5994 143,5994 143,5994 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-23 1 1 143,6589 143,6589 143,6589 143,6589 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-27 1 1 143,839 143,839 143,839 143,839 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-28 1 1 143,8444 143,8444 143,8444 143,8444 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-29 1 1 143,8272 143,8272 143,8272 143,8272 242081 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Obligationsfond SEK 2005-12-30 1 1 143,8897 143,8897 143,8897 143,8897 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-03 1 1 102,9725 102,9725 102,9725 102,9725 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-04 1 1 102,9738 102,9738 102,9738 102,9738 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-05 1 1 102,9739 102,9739 102,9739 102,9739 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-07 1 1 103,0044 103,0044 103,0044 103,0044 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-10 1 1 103,0148 103,0148 103,0148 103,0148 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-11 1 1 103,0211 103,0211 103,0211 103,0211 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-12 1 1 103,0228 103,0228 103,0228 103,0228 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-13 1 1 103,0361 103,0361 103,0361 103,0361 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-14 1 1 103,0392 103,0392 103,0392 103,0392 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-17 1 1 103,0485 103,0485 103,0485 103,0485 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-18 1 1 103,0531 103,0531 103,0531 103,0531 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-19 1 1 103,0601 103,0601 103,0601 103,0601 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-20 1 1 103,0692 103,0692 103,0692 103,0692 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-21 1 1 103,093 103,093 103,093 103,093 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-24 1 1 103,1143 103,1143 103,1143 103,1143 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-25 1 1 103,1174 103,1174 103,1174 103,1174 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-26 1 1 103,1158 103,1158 103,1158 103,1158 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-27 1 1 103,1168 103,1168 103,1168 103,1168 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-28 1 1 103,1357 103,1357 103,1357 103,1357 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-01-31 1 1 103,143 103,143 103,143 103,143 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-01 1 1 103,155 103,155 103,155 103,155 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-02 1 1 103,1505 103,1505 103,1505 103,1505 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-03 1 1 103,156 103,156 103,156 103,156 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-04 1 1 103,171 103,171 103,171 103,171 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-07 1 1 103,1827 103,1827 103,1827 103,1827 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-08 1 1 103,175 103,175 103,175 103,175 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-09 1 1 103,1912 103,1912 103,1912 103,1912 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-10 1 1 103,2198 103,2198 103,2198 103,2198 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-11 1 1 103,2341 103,2341 103,2341 103,2341 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-14 1 1 103,187 103,187 103,187 103,187 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-15 1 1 103,2373 103,2373 103,2373 103,2373 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-16 1 1 103,2449 103,2449 103,2449 103,2449 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-17 1 1 103,276 103,276 103,276 103,276 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-18 1 1 103,2468 103,2468 103,2468 103,2468 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-21 1 1 103,2387 103,2387 103,2387 103,2387 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-22 1 1 103,2306 103,2306 103,2306 103,2306 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-23 1 1 103,2424 103,2424 103,2424 103,2424 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-24 1 1 103,2307 103,2307 103,2307 103,2307 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-25 1 1 103,2297 103,2297 103,2297 103,2297 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-02-28 1 1 103,2756 103,2756 103,2756 103,2756 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-01 1 1 103,2843 103,2843 103,2843 103,2843 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-02 1 1 103,2716 103,2716 103,2716 103,2716 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-03 1 1 103,293 103,293 103,293 103,293 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-04 1 1 103,319 103,319 103,319 103,319 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-07 1 1 103,349 103,349 103,349 103,349 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-08 1 1 103,3716 103,3716 103,3716 103,3716 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-09 1 1 103,3767 103,3767 103,3767 103,3767 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-10 1 1 103,3858 103,3858 103,3858 103,3858 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-11 1 1 100,9898 100,9898 100,9898 100,9898 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-14 1 1 101,0042 101,0042 101,0042 101,0042 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-15 1 1 101,0099 101,0099 101,0099 101,0099 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-16 1 1 100,9965 100,9965 100,9965 100,9965 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-17 1 1 101,0059 101,0059 101,0059 101,0059 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-18 1 1 101,0081 101,0081 101,0081 101,0081 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-21 1 1 101,0093 101,0093 101,0093 101,0093 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-22 1 1 101,0044 101,0044 101,0044 101,0044 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-23 1 1 101,0166 101,0166 101,0166 101,0166 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-24 1 1 101,0317 101,0317 101,0317 101,0317 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-29 1 1 101,0571 101,0571 101,0571 101,0571 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-30 1 1 101,0594 101,0594 101,0594 101,0594 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-03-31 1 1 101,0888 101,0888 101,0888 101,0888 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-01 1 1 101,1119 101,1119 101,1119 101,1119 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-04 1 1 101,1299 101,1299 101,1299 101,1299 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-05 1 1 101,1194 101,1194 101,1194 101,1194 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-06 1 1 101,13 101,13 101,13 101,13 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-07 1 1 101,1375 101,1375 101,1375 101,1375 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-08 1 1 101,1283 101,1283 101,1283 101,1283 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-11 1 1 101,1607 101,1607 101,1607 101,1607 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-12 1 1 101,1655 101,1655 101,1655 101,1655 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-13 1 1 101,1743 101,1743 101,1743 101,1743 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-14 1 1 101,2071 101,2071 101,2071 101,2071 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-15 1 1 101,2433 101,2433 101,2433 101,2433 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-18 1 1 101,2697 101,2697 101,2697 101,2697 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-19 1 1 101,2786 101,2786 101,2786 101,2786 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-20 1 1 101,2719 101,2719 101,2719 101,2719 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-21 1 1 101,2765 101,2765 101,2765 101,2765 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-22 1 1 101,2886 101,2886 101,2886 101,2886 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-25 1 1 101,3123 101,3123 101,3123 101,3123 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-26 1 1 101,3185 101,3185 101,3185 101,3185 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-27 1 1 101,3411 101,3411 101,3411 101,3411 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-28 1 1 101,3642 101,3642 101,3642 101,3642 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-04-29 1 1 101,3757 101,3757 101,3757 101,3757 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-02 1 1 101,3968 101,3968 101,3968 101,3968 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-03 1 1 101,4181 101,4181 101,4181 101,4181 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-04 1 1 101,4221 101,4221 101,4221 101,4221 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-06 1 1 101,4322 101,4322 101,4322 101,4322 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-09 1 1 101,4448 101,4448 101,4448 101,4448 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-10 1 1 101,465 101,465 101,465 101,465 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-11 1 1 101,4646 101,4646 101,4646 101,4646 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-12 1 1 101,4631 101,4631 101,4631 101,4631 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-13 1 1 101,485 101,485 101,485 101,485 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-16 1 1 101,5002 101,5002 101,5002 101,5002 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-17 1 1 101,5081 101,5081 101,5081 101,5081 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-18 1 1 101,5334 101,5334 101,5334 101,5334 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-19 1 1 101,5407 101,5407 101,5407 101,5407 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-20 1 1 101,5228 101,5228 101,5228 101,5228 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-23 1 1 101,541 101,541 101,541 101,541 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-24 1 1 101,5484 101,5484 101,5484 101,5484 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-25 1 1 101,5528 101,5528 101,5528 101,5528 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-26 1 1 101,5592 101,5592 101,5592 101,5592 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-27 1 1 101,5716 101,5716 101,5716 101,5716 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-30 1 1 101,5713 101,5713 101,5713 101,5713 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-05-31 1 1 101,5999 101,5999 101,5999 101,5999 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-01 1 1 101,6221 101,6221 101,6221 101,6221 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-02 1 1 101,6311 101,6311 101,6311 101,6311 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-03 1 1 101,6528 101,6528 101,6528 101,6528 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-07 1 1 101,6718 101,6718 101,6718 101,6718 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-08 1 1 101,7443 101,7443 101,7443 101,7443 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-09 1 1 101,7613 101,7613 101,7613 101,7613 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-10 1 1 101,7615 101,7615 101,7615 101,7615 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-13 1 1 101,7812 101,7812 101,7812 101,7812 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-14 1 1 101,7724 101,7724 101,7724 101,7724 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-15 1 1 101,7792 101,7792 101,7792 101,7792 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-16 1 1 101,7991 101,7991 101,7991 101,7991 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-17 1 1 101,8204 101,8204 101,8204 101,8204 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-20 1 1 101,8341 101,8341 101,8341 101,8341 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-21 1 1 101,9396 101,9396 101,9396 101,9396 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-22 1 1 101,9619 101,9619 101,9619 101,9619 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-23 1 1 101,9676 101,9676 101,9676 101,9676 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-27 1 1 101,985 101,985 101,985 101,985 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-28 1 1 101,9714 101,9714 101,9714 101,9714 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-29 1 1 101,9817 101,9817 101,9817 101,9817 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-06-30 1 1 101,9827 101,9827 101,9827 101,9827 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-01 1 1 101,9847 101,9847 101,9847 101,9847 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-04 1 1 101,9702 101,9702 101,9702 101,9702 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-05 1 1 101,9581 101,9581 101,9581 101,9581 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-06 1 1 101,9653 101,9653 101,9653 101,9653 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-07 1 1 102,0199 102,0199 102,0199 102,0199 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-08 1 1 102,0198 102,0198 102,0198 102,0198 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-11 1 1 102,0208 102,0208 102,0208 102,0208 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-12 1 1 102,0171 102,0171 102,0171 102,0171 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-13 1 1 102,0076 102,0076 102,0076 102,0076 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-14 1 1 102,0134 102,0134 102,0134 102,0134 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-15 1 1 102,0123 102,0123 102,0123 102,0123 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-18 1 1 102,0323 102,0323 102,0323 102,0323 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-19 1 1 102,0302 102,0302 102,0302 102,0302 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-20 1 1 102,0282 102,0282 102,0282 102,0282 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-21 1 1 102,0378 102,0378 102,0378 102,0378 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-22 1 1 102,0486 102,0486 102,0486 102,0486 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-25 1 1 102,0687 102,0687 102,0687 102,0687 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-26 1 1 102,0645 102,0645 102,0645 102,0645 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-27 1 1 102,0741 102,0741 102,0741 102,0741 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-28 1 1 102,066 102,066 102,066 102,066 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-07-29 1 1 102,04 102,04 102,04 102,04 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-01 1 1 102,0232 102,0232 102,0232 102,0232 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-02 1 1 102,0168 102,0168 102,0168 102,0168 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-03 1 1 102,0108 102,0108 102,0108 102,0108 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-04 1 1 102,025 102,025 102,025 102,025 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-05 1 1 102,0192 102,0192 102,0192 102,0192 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-08 1 1 102,0235 102,0235 102,0235 102,0235 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-09 1 1 102,044 102,044 102,044 102,044 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-10 1 1 102,044 102,044 102,044 102,044 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-11 1 1 102,0588 102,0588 102,0588 102,0588 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-12 1 1 102,0628 102,0628 102,0628 102,0628 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-15 1 1 102,0747 102,0747 102,0747 102,0747 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-16 1 1 102,0786 102,0786 102,0786 102,0786 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-17 1 1 102,0733 102,0733 102,0733 102,0733 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-18 1 1 102,0752 102,0752 102,0752 102,0752 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-19 1 1 102,0828 102,0828 102,0828 102,0828 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-22 1 1 102,0921 102,0921 102,0921 102,0921 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-23 1 1 102,1011 102,1011 102,1011 102,1011 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-24 1 1 102,0995 102,0995 102,0995 102,0995 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-25 1 1 102,1101 102,1101 102,1101 102,1101 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-26 1 1 102,1076 102,1076 102,1076 102,1076 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-29 1 1 102,1143 102,1143 102,1143 102,1143 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-30 1 1 102,1165 102,1165 102,1165 102,1165 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-08-31 1 1 102,1168 102,1168 102,1168 102,1168 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-01 1 1 102,131 102,131 102,131 102,131 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-02 1 1 102,1427 102,1427 102,1427 102,1427 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-05 1 1 102,1522 102,1522 102,1522 102,1522 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-06 1 1 102,1557 102,1557 102,1557 102,1557 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-07 1 1 102,1529 102,1529 102,1529 102,1529 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-08 1 1 102,1619 102,1619 102,1619 102,1619 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-09 1 1 102,1624 102,1624 102,1624 102,1624 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-12 1 1 102,1525 102,1525 102,1525 102,1525 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-13 1 1 102,1549 102,1549 102,1549 102,1549 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-14 1 1 102,1451 102,1451 102,1451 102,1451 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-15 1 1 102,1507 102,1507 102,1507 102,1507 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-16 1 1 102,1491 102,1491 102,1491 102,1491 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-19 1 1 102,1669 102,1669 102,1669 102,1669 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-20 1 1 102,1875 102,1875 102,1875 102,1875 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-21 1 1 102,1891 102,1891 102,1891 102,1891 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-22 1 1 102,1931 102,1931 102,1931 102,1931 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-23 1 1 102,1789 102,1789 102,1789 102,1789 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-26 1 1 102,1875 102,1875 102,1875 102,1875 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-27 1 1 102,1927 102,1927 102,1927 102,1927 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-28 1 1 102,1816 102,1816 102,1816 102,1816 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-29 1 1 102,1636 102,1636 102,1636 102,1636 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-09-30 1 1 102,1544 102,1544 102,1544 102,1544 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-03 1 1 102,1478 102,1478 102,1478 102,1478 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-04 1 1 102,1579 102,1579 102,1579 102,1579 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-05 1 1 102,1648 102,1648 102,1648 102,1648 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-06 1 1 102,1751 102,1751 102,1751 102,1751 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-07 1 1 102,1776 102,1776 102,1776 102,1776 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-10 1 1 102,1846 102,1846 102,1846 102,1846 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-11 1 1 102,1868 102,1868 102,1868 102,1868 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-12 1 1 102,1883 102,1883 102,1883 102,1883 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-13 1 1 102,2177 102,2177 102,2177 102,2177 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-14 1 1 102,221 102,221 102,221 102,221 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-17 1 1 102,2303 102,2303 102,2303 102,2303 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-18 1 1 102,2316 102,2316 102,2316 102,2316 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-19 1 1 102,2336 102,2336 102,2336 102,2336 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-20 1 1 102,2515 102,2515 102,2515 102,2515 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-21 1 1 102,2607 102,2607 102,2607 102,2607 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-24 1 1 102,2661 102,2661 102,2661 102,2661 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-25 1 1 102,2673 102,2673 102,2673 102,2673 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-26 1 1 102,2628 102,2628 102,2628 102,2628 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-27 1 1 102,2766 102,2766 102,2766 102,2766 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-28 1 1 102,275 102,275 102,275 102,275 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-10-31 1 1 102,2795 102,2795 102,2795 102,2795 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-01 1 1 102,2792 102,2792 102,2792 102,2792 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-02 1 1 102,2764 102,2764 102,2764 102,2764 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-03 1 1 102,2852 102,2852 102,2852 102,2852 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-04 1 1 102,2864 102,2864 102,2864 102,2864 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-07 1 1 102,2931 102,2931 102,2931 102,2931 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-08 1 1 102,2962 102,2962 102,2962 102,2962 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-09 1 1 102,2974 102,2974 102,2974 102,2974 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-10 1 1 102,3082 102,3082 102,3082 102,3082 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-11 1 1 102,3126 102,3126 102,3126 102,3126 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-14 1 1 102,3233 102,3233 102,3233 102,3233 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-15 1 1 102,3236 102,3236 102,3236 102,3236 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-16 1 1 102,3265 102,3265 102,3265 102,3265 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-17 1 1 102,3351 102,3351 102,3351 102,3351 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-18 1 1 102,3335 102,3335 102,3335 102,3335 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-21 1 1 102,346 102,346 102,346 102,346 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-22 1 1 102,3503 102,3503 102,3503 102,3503 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-23 1 1 102,3535 102,3535 102,3535 102,3535 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-24 1 1 102,3666 102,3666 102,3666 102,3666 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-25 1 1 102,3614 102,3614 102,3614 102,3614 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-28 1 1 102,3695 102,3695 102,3695 102,3695 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-29 1 1 102,3724 102,3724 102,3724 102,3724 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-11-30 1 1 102,3691 102,3691 102,3691 102,3691 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-01 1 1 102,3805 102,3805 102,3805 102,3805 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-02 1 1 102,3692 102,3692 102,3692 102,3692 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-05 1 1 102,3709 102,3709 102,3709 102,3709 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-06 1 1 102,37 102,37 102,37 102,37 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-07 1 1 102,3727 102,3727 102,3727 102,3727 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-08 1 1 102,3791 102,3791 102,3791 102,3791 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-12 1 1 102,3899 102,3899 102,3899 102,3899 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-13 1 1 102,3993 102,3993 102,3993 102,3993 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-14 1 1 102,4078 102,4078 102,4078 102,4078 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-15 1 1 102,4145 102,4145 102,4145 102,4145 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-16 1 1 102,4144 102,4144 102,4144 102,4144 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-19 1 1 102,4291 102,4291 102,4291 102,4291 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-20 1 1 102,4334 102,4334 102,4334 102,4334 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-21 1 1 102,4296 102,4296 102,4296 102,4296 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-22 1 1 102,4451 102,4451 102,4451 102,4451 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-23 1 1 102,4498 102,4498 102,4498 102,4498 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-27 1 1 102,4637 102,4637 102,4637 102,4637 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-28 1 1 102,4665 102,4665 102,4665 102,4665 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-29 1 1 102,4765 102,4765 102,4765 102,4765 420646 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Penningmarknadsfond SEK 2005-12-30 1 1 102,4689 102,4689 102,4689 102,4689 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-03 1 1 114,5062 114,5062 114,5062 114,5062 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-04 1 1 114,9828 114,9828 114,9828 114,9828 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-05 1 1 114,3627 114,3627 114,3627 114,3627 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-07 1 1 114,8865 114,8865 114,8865 114,8865 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-10 1 1 115,4575 115,4575 115,4575 115,4575 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-11 1 1 114,7965 114,7965 114,7965 114,7965 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-12 1 1 114,0642 114,0642 114,0642 114,0642 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-13 1 1 114,2311 114,2311 114,2311 114,2311 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-14 1 1 114,7048 114,7048 114,7048 114,7048 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-17 1 1 115,3972 115,3972 115,3972 115,3972 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-18 1 1 114,9397 114,9397 114,9397 114,9397 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-19 1 1 115,6977 115,6977 115,6977 115,6977 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-20 1 1 115,0084 115,0084 115,0084 115,0084 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-21 1 1 114,8209 114,8209 114,8209 114,8209 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-24 1 1 114,2433 114,2433 114,2433 114,2433 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-25 1 1 114,9679 114,9679 114,9679 114,9679 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-26 1 1 115,0832 115,0832 115,0832 115,0832 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-27 1 1 115,1567 115,1567 115,1567 115,1567 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-28 1 1 115,3272 115,3272 115,3272 115,3272 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-01-31 1 1 115,742 115,742 115,742 115,742 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-01 1 1 115,9702 115,9702 115,9702 115,9702 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-02 1 1 116,2912 116,2912 116,2912 116,2912 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-03 1 1 116,3043 116,3043 116,3043 116,3043 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-04 1 1 116,8212 116,8212 116,8212 116,8212 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-07 1 1 118,1447 118,1447 118,1447 118,1447 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-08 1 1 118,4482 118,4482 118,4482 118,4482 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-09 1 1 118,4864 118,4864 118,4864 118,4864 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-10 1 1 117,8059 117,8059 117,8059 117,8059 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-11 1 1 118,0064 118,0064 118,0064 118,0064 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-14 1 1 118,362 118,362 118,362 118,362 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-15 1 1 118,4316 118,4316 118,4316 118,4316 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-16 1 1 117,9224 117,9224 117,9224 117,9224 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-17 1 1 118,0608 118,0608 118,0608 118,0608 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-18 1 1 117,5804 117,5804 117,5804 117,5804 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-21 1 1 118,0469 118,0469 118,0469 118,0469 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-22 1 1 116,886 116,886 116,886 116,886 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-23 1 1 116,4976 116,4976 116,4976 116,4976 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-24 1 1 116,4656 116,4656 116,4656 116,4656 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-25 1 1 117,2873 117,2873 117,2873 117,2873 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-02-28 1 1 117,6864 117,6864 117,6864 117,6864 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-01 1 1 117,9579 117,9579 117,9579 117,9579 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-02 1 1 118,2984 118,2984 118,2984 118,2984 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-03 1 1 118,6749 118,6749 118,6749 118,6749 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-04 1 1 118,6605 118,6605 118,6605 118,6605 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-07 1 1 118,8258 118,8258 118,8258 118,8258 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-08 1 1 118,3381 118,3381 118,3381 118,3381 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-09 1 1 117,8081 117,8081 117,8081 117,8081 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-10 1 1 117,3707 117,3707 117,3707 117,3707 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-11 1 1 114,6198 114,6198 114,6198 114,6198 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-14 1 1 114,826 114,826 114,826 114,826 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-15 1 1 115,2836 115,2836 115,2836 115,2836 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-16 1 1 114,1762 114,1762 114,1762 114,1762 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-17 1 1 113,9769 113,9769 113,9769 113,9769 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-18 1 1 114,5616 114,5616 114,5616 114,5616 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-21 1 1 114,7611 114,7611 114,7611 114,7611 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-22 1 1 114,7525 114,7525 114,7525 114,7525 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-23 1 1 114,5394 114,5394 114,5394 114,5394 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-24 1 1 114,9373 114,9373 114,9373 114,9373 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-29 1 1 115,1658 115,1658 115,1658 115,1658 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-30 1 1 114,4944 114,4944 114,4944 114,4944 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-03-31 1 1 115,3673 115,3673 115,3673 115,3673 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-01 1 1 115,795 115,795 115,795 115,795 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-04 1 1 115,6687 115,6687 115,6687 115,6687 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-05 1 1 116,3933 116,3933 116,3933 116,3933 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-06 1 1 116,584 116,584 116,584 116,584 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-07 1 1 116,5545 116,5545 116,5545 116,5545 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-08 1 1 117,2426 117,2426 117,2426 117,2426 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-11 1 1 116,6848 116,6848 116,6848 116,6848 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-12 1 1 116,4975 116,4975 116,4975 116,4975 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-13 1 1 117,1412 117,1412 117,1412 117,1412 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-14 1 1 117,3596 117,3596 117,3596 117,3596 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-15 1 1 115,9159 115,9159 115,9159 115,9159 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-18 1 1 114,3912 114,3912 114,3912 114,3912 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-19 1 1 114,9184 114,9184 114,9184 114,9184 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-20 1 1 114,6534 114,6534 114,6534 114,6534 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-21 1 1 114,558 114,558 114,558 114,558 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-22 1 1 115,1631 115,1631 115,1631 115,1631 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-25 1 1 115,4388 115,4388 115,4388 115,4388 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-26 1 1 115,1212 115,1212 115,1212 115,1212 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-27 1 1 113,9837 113,9837 113,9837 113,9837 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-28 1 1 114,2854 114,2854 114,2854 114,2854 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-04-29 1 1 114,6133 114,6133 114,6133 114,6133 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-02 1 1 115,734 115,734 115,734 115,734 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-03 1 1 115,6935 115,6935 115,6935 115,6935 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-04 1 1 115,4111 115,4111 115,4111 115,4111 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-06 1 1 116,7647 116,7647 116,7647 116,7647 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-09 1 1 116,6689 116,6689 116,6689 116,6689 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-10 1 1 116,5926 116,5926 116,5926 116,5926 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-11 1 1 116,6591 116,6591 116,6591 116,6591 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-12 1 1 117,4994 117,4994 117,4994 117,4994 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-13 1 1 117,3356 117,3356 117,3356 117,3356 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-16 1 1 117,3988 117,3988 117,3988 117,3988 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-17 1 1 117,6668 117,6668 117,6668 117,6668 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-18 1 1 118,6241 118,6241 118,6241 118,6241 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-19 1 1 119,1254 119,1254 119,1254 119,1254 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-20 1 1 119,1692 119,1692 119,1692 119,1692 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-23 1 1 119,2831 119,2831 119,2831 119,2831 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-24 1 1 119,4289 119,4289 119,4289 119,4289 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-25 1 1 119,268 119,268 119,268 119,268 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-26 1 1 120,0978 120,0978 120,0978 120,0978 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-27 1 1 120,306 120,306 120,306 120,306 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-30 1 1 120,7007 120,7007 120,7007 120,7007 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-05-31 1 1 121,0925 121,0925 121,0925 121,0925 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-01 1 1 121,5887 121,5887 121,5887 121,5887 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-02 1 1 121,8635 121,8635 121,8635 121,8635 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-03 1 1 121,8222 121,8222 121,8222 121,8222 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-07 1 1 122,3091 122,3091 122,3091 122,3091 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-08 1 1 122,6568 122,6568 122,6568 122,6568 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-09 1 1 122,5448 122,5448 122,5448 122,5448 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-10 1 1 123,6667 123,6667 123,6667 123,6667 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-13 1 1 124,1809 124,1809 124,1809 124,1809 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-14 1 1 124,7546 124,7546 124,7546 124,7546 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-15 1 1 124,5348 124,5348 124,5348 124,5348 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-16 1 1 124,5321 124,5321 124,5321 124,5321 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-17 1 1 124,6432 124,6432 124,6432 124,6432 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-20 1 1 124,4659 124,4659 124,4659 124,4659 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-21 1 1 125,1328 125,1328 125,1328 125,1328 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-22 1 1 125,9164 125,9164 125,9164 125,9164 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-23 1 1 127,0186 127,0186 127,0186 127,0186 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-27 1 1 125,0673 125,0673 125,0673 125,0673 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-28 1 1 125,9789 125,9789 125,9789 125,9789 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-29 1 1 127,0976 127,0976 127,0976 127,0976 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-06-30 1 1 127,1922 127,1922 127,1922 127,1922 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-01 1 1 127,3353 127,3353 127,3353 127,3353 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-04 1 1 128,1825 128,1825 128,1825 128,1825 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-05 1 1 127,516 127,516 127,516 127,516 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-06 1 1 127,7709 127,7709 127,7709 127,7709 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-07 1 1 126,5616 126,5616 126,5616 126,5616 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-08 1 1 127,6086 127,6086 127,6086 127,6086 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-11 1 1 128,7863 128,7863 128,7863 128,7863 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-12 1 1 127,9799 127,9799 127,9799 127,9799 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-13 1 1 128,0055 128,0055 128,0055 128,0055 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-14 1 1 128,6866 128,6866 128,6866 128,6866 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-15 1 1 128,5826 128,5826 128,5826 128,5826 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-18 1 1 128,4687 128,4687 128,4687 128,4687 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-19 1 1 129,2155 129,2155 129,2155 129,2155 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-20 1 1 128,8217 128,8217 128,8217 128,8217 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-21 1 1 129,1191 129,1191 129,1191 129,1191 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-22 1 1 129,1616 129,1616 129,1616 129,1616 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-25 1 1 129,2726 129,2726 129,2726 129,2726 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-26 1 1 129,9917 129,9917 129,9917 129,9917 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-27 1 1 130,1298 130,1298 130,1298 130,1298 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-28 1 1 130,1837 130,1837 130,1837 130,1837 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-07-29 1 1 130,3306 130,3306 130,3306 130,3306 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-01 1 1 129,5355 129,5355 129,5355 129,5355 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-02 1 1 129,6928 129,6928 129,6928 129,6928 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-03 1 1 129,559 129,559 129,559 129,559 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-04 1 1 128,6139 128,6139 128,6139 128,6139 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-05 1 1 128,0441 128,0441 128,0441 128,0441 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-08 1 1 127,8225 127,8225 127,8225 127,8225 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-09 1 1 128,2005 128,2005 128,2005 128,2005 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-10 1 1 129,2135 129,2135 129,2135 129,2135 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-11 1 1 128,8681 128,8681 128,8681 128,8681 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-12 1 1 128,532 128,532 128,532 128,532 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-15 1 1 128,6755 128,6755 128,6755 128,6755 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-16 1 1 129,1062 129,1062 129,1062 129,1062 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-17 1 1 128,7593 128,7593 128,7593 128,7593 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-18 1 1 129,1073 129,1073 129,1073 129,1073 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-19 1 1 129,8761 129,8761 129,8761 129,8761 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-22 1 1 130,1324 130,1324 130,1324 130,1324 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-23 1 1 129,5684 129,5684 129,5684 129,5684 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-24 1 1 128,2586 128,2586 128,2586 128,2586 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-25 1 1 127,7104 127,7104 127,7104 127,7104 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-26 1 1 126,991 126,991 126,991 126,991 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-29 1 1 126,9773 126,9773 126,9773 126,9773 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-30 1 1 127,9659 127,9659 127,9659 127,9659 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-08-31 1 1 127,7949 127,7949 127,7949 127,7949 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-01 1 1 128,2352 128,2352 128,2352 128,2352 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-02 1 1 127,5084 127,5084 127,5084 127,5084 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-05 1 1 127,7811 127,7811 127,7811 127,7811 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-06 1 1 128,7548 128,7548 128,7548 128,7548 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-07 1 1 129,341 129,341 129,341 129,341 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-08 1 1 129,6073 129,6073 129,6073 129,6073 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-09 1 1 130,0239 130,0239 130,0239 130,0239 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-12 1 1 130,8775 130,8775 130,8775 130,8775 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-13 1 1 130,7676 130,7676 130,7676 130,7676 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-14 1 1 130,7424 130,7424 130,7424 130,7424 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-15 1 1 131,1858 131,1858 131,1858 131,1858 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-16 1 1 131,5598 131,5598 131,5598 131,5598 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-19 1 1 132,1863 132,1863 132,1863 132,1863 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-20 1 1 132,2333 132,2333 132,2333 132,2333 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-21 1 1 131,0497 131,0497 131,0497 131,0497 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-22 1 1 131,0116 131,0116 131,0116 131,0116 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-23 1 1 131,5098 131,5098 131,5098 131,5098 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-26 1 1 132,8498 132,8498 132,8498 132,8498 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-27 1 1 132,9374 132,9374 132,9374 132,9374 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-28 1 1 133,4873 133,4873 133,4873 133,4873 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-29 1 1 133,0712 133,0712 133,0712 133,0712 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-09-30 1 1 133,2914 133,2914 133,2914 133,2914 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-03 1 1 134,279 134,279 134,279 134,279 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-04 1 1 134,3198 134,3198 134,3198 134,3198 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-05 1 1 133,1829 133,1829 133,1829 133,1829 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-06 1 1 130,831 130,831 130,831 130,831 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-07 1 1 130,8865 130,8865 130,8865 130,8865 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-10 1 1 131,436 131,436 131,436 131,436 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-11 1 1 131,9042 131,9042 131,9042 131,9042 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-12 1 1 131,3405 131,3405 131,3405 131,3405 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-13 1 1 130,5633 130,5633 130,5633 130,5633 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-14 1 1 130,9253 130,9253 130,9253 130,9253 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-17 1 1 131,0937 131,0937 131,0937 131,0937 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-18 1 1 131,2335 131,2335 131,2335 131,2335 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-19 1 1 129,546 129,546 129,546 129,546 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-20 1 1 130,7028 130,7028 130,7028 130,7028 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-21 1 1 129,7725 129,7725 129,7725 129,7725 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-24 1 1 131,0522 131,0522 131,0522 131,0522 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-25 1 1 130,9648 130,9648 130,9648 130,9648 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-26 1 1 131,0865 131,0865 131,0865 131,0865 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-27 1 1 130,3874 130,3874 130,3874 130,3874 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-28 1 1 130,1772 130,1772 130,1772 130,1772 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-10-31 1 1 132,7092 132,7092 132,7092 132,7092 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-01 1 1 133,7107 133,7107 133,7107 133,7107 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-02 1 1 134,0524 134,0524 134,0524 134,0524 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-03 1 1 135,5544 135,5544 135,5544 135,5544 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-04 1 1 135,8963 135,8963 135,8963 135,8963 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-07 1 1 136,6204 136,6204 136,6204 136,6204 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-08 1 1 135,7723 135,7723 135,7723 135,7723 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-09 1 1 136,4716 136,4716 136,4716 136,4716 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-10 1 1 136,7143 136,7143 136,7143 136,7143 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-11 1 1 137,2055 137,2055 137,2055 137,2055 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-14 1 1 137,4892 137,4892 137,4892 137,4892 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-15 1 1 137,6507 137,6507 137,6507 137,6507 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-16 1 1 137,6139 137,6139 137,6139 137,6139 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-17 1 1 138,1867 138,1867 138,1867 138,1867 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-18 1 1 138,7118 138,7118 138,7118 138,7118 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-21 1 1 138,182 138,182 138,182 138,182 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-22 1 1 138,5092 138,5092 138,5092 138,5092 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-23 1 1 138,3633 138,3633 138,3633 138,3633 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-24 1 1 138,4577 138,4577 138,4577 138,4577 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-25 1 1 138,6938 138,6938 138,6938 138,6938 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-28 1 1 138,433 138,433 138,433 138,433 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-29 1 1 138,6137 138,6137 138,6137 138,6137 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-11-30 1 1 138,2294 138,2294 138,2294 138,2294 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-01 1 1 139,1336 139,1336 139,1336 139,1336 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-02 1 1 139,4421 139,4421 139,4421 139,4421 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-05 1 1 139,1705 139,1705 139,1705 139,1705 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-06 1 1 138,7871 138,7871 138,7871 138,7871 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-07 1 1 139,502 139,502 139,502 139,502 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-08 1 1 139,0177 139,0177 139,0177 139,0177 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-12 1 1 139,3047 139,3047 139,3047 139,3047 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-13 1 1 139,4996 139,4996 139,4996 139,4996 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-14 1 1 139,1624 139,1624 139,1624 139,1624 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-15 1 1 139,3374 139,3374 139,3374 139,3374 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-16 1 1 139,7401 139,7401 139,7401 139,7401 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-19 1 1 139,5378 139,5378 139,5378 139,5378 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-20 1 1 139,6295 139,6295 139,6295 139,6295 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-21 1 1 140,7413 140,7413 140,7413 140,7413 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-22 1 1 140,9183 140,9183 140,9183 140,9183 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-23 1 1 141,4558 141,4558 141,4558 141,4558 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-27 1 1 141,7244 141,7244 141,7244 141,7244 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-28 1 1 140,7461 140,7461 140,7461 140,7461 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-29 1 1 141,3268 141,3268 141,3268 141,3268 850602 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2010 SEK 2005-12-30 1 1 140,6829 140,6829 140,6829 140,6829 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-03 1 1 112,2468 112,2468 112,2468 112,2468 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-04 1 1 112,8977 112,8977 112,8977 112,8977 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-05 1 1 112,1394 112,1394 112,1394 112,1394 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-07 1 1 112,6998 112,6998 112,6998 112,6998 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-10 1 1 113,4251 113,4251 113,4251 113,4251 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-11 1 1 112,6592 112,6592 112,6592 112,6592 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-12 1 1 111,7298 111,7298 111,7298 111,7298 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-13 1 1 111,9082 111,9082 111,9082 111,9082 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-14 1 1 112,4862 112,4862 112,4862 112,4862 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-17 1 1 113,2634 113,2634 113,2634 113,2634 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-18 1 1 112,7706 112,7706 112,7706 112,7706 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-19 1 1 113,6397 113,6397 113,6397 113,6397 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-20 1 1 112,8672 112,8672 112,8672 112,8672 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-21 1 1 112,5803 112,5803 112,5803 112,5803 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-24 1 1 111,793 111,793 111,793 111,793 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-25 1 1 112,7265 112,7265 112,7265 112,7265 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-26 1 1 112,9835 112,9835 112,9835 112,9835 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-27 1 1 113,1122 113,1122 113,1122 113,1122 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-28 1 1 113,2475 113,2475 113,2475 113,2475 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-01-31 1 1 113,7821 113,7821 113,7821 113,7821 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-01 1 1 114,0323 114,0323 114,0323 114,0323 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-02 1 1 114,492 114,492 114,492 114,492 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-03 1 1 114,524 114,524 114,524 114,524 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-04 1 1 115,1499 115,1499 115,1499 115,1499 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-07 1 1 116,8021 116,8021 116,8021 116,8021 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-08 1 1 117,2261 117,2261 117,2261 117,2261 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-09 1 1 117,2691 117,2691 117,2691 117,2691 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-10 1 1 116,333 116,333 116,333 116,333 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-11 1 1 116,589 116,589 116,589 116,589 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-14 1 1 117,1034 117,1034 117,1034 117,1034 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-15 1 1 117,209 117,209 117,209 117,209 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-16 1 1 116,5258 116,5258 116,5258 116,5258 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-17 1 1 116,7325 116,7325 116,7325 116,7325 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-18 1 1 116,2409 116,2409 116,2409 116,2409 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-21 1 1 116,8941 116,8941 116,8941 116,8941 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-22 1 1 115,4733 115,4733 115,4733 115,4733 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-23 1 1 114,97 114,97 114,97 114,97 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-24 1 1 115,0101 115,0101 115,0101 115,0101 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-25 1 1 116,0613 116,0613 116,0613 116,0613 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-02-28 1 1 116,5055 116,5055 116,5055 116,5055 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-01 1 1 116,8595 116,8595 116,8595 116,8595 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-02 1 1 117,328 117,328 117,328 117,328 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-03 1 1 117,7628 117,7628 117,7628 117,7628 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-04 1 1 117,7256 117,7256 117,7256 117,7256 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-07 1 1 117,8806 117,8806 117,8806 117,8806 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-08 1 1 117,2741 117,2741 117,2741 117,2741 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-09 1 1 116,661 116,661 116,661 116,661 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-10 1 1 116,0674 116,0674 116,0674 116,0674 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-11 1 1 113,9666 113,9666 113,9666 113,9666 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-14 1 1 114,214 114,214 114,214 114,214 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-15 1 1 114,6567 114,6567 114,6567 114,6567 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-16 1 1 113,3017 113,3017 113,3017 113,3017 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-17 1 1 112,994 112,994 112,994 112,994 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-18 1 1 113,7299 113,7299 113,7299 113,7299 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-21 1 1 113,9586 113,9586 113,9586 113,9586 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-22 1 1 113,9152 113,9152 113,9152 113,9152 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-23 1 1 113,6572 113,6572 113,6572 113,6572 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-24 1 1 114,1455 114,1455 114,1455 114,1455 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-29 1 1 114,3629 114,3629 114,3629 114,3629 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-30 1 1 113,5142 113,5142 113,5142 113,5142 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-03-31 1 1 114,4916 114,4916 114,4916 114,4916 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-01 1 1 115,0507 115,0507 115,0507 115,0507 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-04 1 1 114,9308 114,9308 114,9308 114,9308 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-05 1 1 115,8491 115,8491 115,8491 115,8491 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-06 1 1 116,0768 116,0768 116,0768 116,0768 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-07 1 1 116,0503 116,0503 116,0503 116,0503 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-08 1 1 116,9679 116,9679 116,9679 116,9679 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-11 1 1 116,2948 116,2948 116,2948 116,2948 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-12 1 1 116,0673 116,0673 116,0673 116,0673 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-13 1 1 116,832 116,832 116,832 116,832 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-14 1 1 117,1214 117,1214 117,1214 117,1214 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-15 1 1 115,1981 115,1981 115,1981 115,1981 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-18 1 1 113,184 113,184 113,184 113,184 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-19 1 1 113,8641 113,8641 113,8641 113,8641 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-20 1 1 113,6028 113,6028 113,6028 113,6028 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-21 1 1 113,4801 113,4801 113,4801 113,4801 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-22 1 1 114,2191 114,2191 114,2191 114,2191 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-25 1 1 114,4986 114,4986 114,4986 114,4986 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-26 1 1 114,0495 114,0495 114,0495 114,0495 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-27 1 1 112,5495 112,5495 112,5495 112,5495 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-28 1 1 112,8179 112,8179 112,8179 112,8179 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-04-29 1 1 113,1875 113,1875 113,1875 113,1875 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-02 1 1 114,532 114,532 114,532 114,532 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-03 1 1 114,516 114,516 114,516 114,516 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-04 1 1 114,2495 114,2495 114,2495 114,2495 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-06 1 1 116,0279 116,0279 116,0279 116,0279 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-09 1 1 115,9253 115,9253 115,9253 115,9253 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-10 1 1 115,686 115,686 115,686 115,686 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-11 1 1 115,7572 115,7572 115,7572 115,7572 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-12 1 1 116,8094 116,8094 116,8094 116,8094 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-13 1 1 116,5846 116,5846 116,5846 116,5846 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-16 1 1 116,6157 116,6157 116,6157 116,6157 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-17 1 1 116,9514 116,9514 116,9514 116,9514 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-18 1 1 118,081 118,081 118,081 118,081 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-19 1 1 118,7399 118,7399 118,7399 118,7399 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-20 1 1 118,7845 118,7845 118,7845 118,7845 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-23 1 1 118,9658 118,9658 118,9658 118,9658 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-24 1 1 119,1058 119,1058 119,1058 119,1058 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-25 1 1 118,8814 118,8814 118,8814 118,8814 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-26 1 1 119,9425 119,9425 119,9425 119,9425 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-27 1 1 120,2022 120,2022 120,2022 120,2022 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-30 1 1 120,7202 120,7202 120,7202 120,7202 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-05-31 1 1 121,1587 121,1587 121,1587 121,1587 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-01 1 1 121,719 121,719 121,719 121,719 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-02 1 1 122,0503 122,0503 122,0503 122,0503 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-03 1 1 121,9154 121,9154 121,9154 121,9154 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-07 1 1 122,5538 122,5538 122,5538 122,5538 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-08 1 1 122,9263 122,9263 122,9263 122,9263 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-09 1 1 122,7842 122,7842 122,7842 122,7842 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-10 1 1 124,1826 124,1826 124,1826 124,1826 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-13 1 1 124,8403 124,8403 124,8403 124,8403 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-14 1 1 125,6598 125,6598 125,6598 125,6598 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-15 1 1 125,4505 125,4505 125,4505 125,4505 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-16 1 1 125,5182 125,5182 125,5182 125,5182 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-17 1 1 125,6115 125,6115 125,6115 125,6115 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-20 1 1 125,4023 125,4023 125,4023 125,4023 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-21 1 1 126,1089 126,1089 126,1089 126,1089 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-22 1 1 127,0005 127,0005 127,0005 127,0005 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-23 1 1 128,4027 128,4027 128,4027 128,4027 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-27 1 1 125,8788 125,8788 125,8788 125,8788 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-28 1 1 127,0957 127,0957 127,0957 127,0957 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-29 1 1 128,4285 128,4285 128,4285 128,4285 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-06-30 1 1 128,5388 128,5388 128,5388 128,5388 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-01 1 1 128,7333 128,7333 128,7333 128,7333 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-04 1 1 129,9196 129,9196 129,9196 129,9196 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-05 1 1 129,1482 129,1482 129,1482 129,1482 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-06 1 1 129,445 129,445 129,445 129,445 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-07 1 1 127,7636 127,7636 127,7636 127,7636 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-08 1 1 129,1305 129,1305 129,1305 129,1305 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-11 1 1 130,7136 130,7136 130,7136 130,7136 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-12 1 1 129,8126 129,8126 129,8126 129,8126 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-13 1 1 129,9043 129,9043 129,9043 129,9043 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-14 1 1 130,8181 130,8181 130,8181 130,8181 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-15 1 1 130,711 130,711 130,711 130,711 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-18 1 1 130,5335 130,5335 130,5335 130,5335 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-19 1 1 131,5017 131,5017 131,5017 131,5017 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-20 1 1 130,9591 130,9591 130,9591 130,9591 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-21 1 1 131,3573 131,3573 131,3573 131,3573 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-22 1 1 131,418 131,418 131,418 131,418 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-25 1 1 131,4845 131,4845 131,4845 131,4845 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-26 1 1 132,4014 132,4014 132,4014 132,4014 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-27 1 1 132,5502 132,5502 132,5502 132,5502 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-28 1 1 132,7115 132,7115 132,7115 132,7115 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-07-29 1 1 132,9793 132,9793 132,9793 132,9793 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-01 1 1 132,1438 132,1438 132,1438 132,1438 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-02 1 1 132,4221 132,4221 132,4221 132,4221 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-03 1 1 132,3261 132,3261 132,3261 132,3261 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-04 1 1 131,1601 131,1601 131,1601 131,1601 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-05 1 1 130,5509 130,5509 130,5509 130,5509 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-08 1 1 130,3367 130,3367 130,3367 130,3367 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-09 1 1 130,8302 130,8302 130,8302 130,8302 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-10 1 1 132,0486 132,0486 132,0486 132,0486 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-11 1 1 131,6382 131,6382 131,6382 131,6382 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-12 1 1 131,181 131,181 131,181 131,181 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-15 1 1 131,2916 131,2916 131,2916 131,2916 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-16 1 1 131,8516 131,8516 131,8516 131,8516 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-17 1 1 131,3945 131,3945 131,3945 131,3945 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-18 1 1 131,7888 131,7888 131,7888 131,7888 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-19 1 1 132,7579 132,7579 132,7579 132,7579 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-22 1 1 133,0142 133,0142 133,0142 133,0142 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-23 1 1 132,2737 132,2737 132,2737 132,2737 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-24 1 1 130,5743 130,5743 130,5743 130,5743 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-25 1 1 129,8065 129,8065 129,8065 129,8065 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-26 1 1 128,8746 128,8746 128,8746 128,8746 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-29 1 1 128,9252 128,9252 128,9252 128,9252 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-30 1 1 130,1245 130,1245 130,1245 130,1245 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-08-31 1 1 129,8546 129,8546 129,8546 129,8546 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-01 1 1 130,4289 130,4289 130,4289 130,4289 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-02 1 1 129,4948 129,4948 129,4948 129,4948 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-05 1 1 129,8524 129,8524 129,8524 129,8524 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-06 1 1 131,1044 131,1044 131,1044 131,1044 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-07 1 1 131,8137 131,8137 131,8137 131,8137 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-08 1 1 132,099 132,099 132,099 132,099 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-09 1 1 132,6024 132,6024 132,6024 132,6024 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-12 1 1 133,7564 133,7564 133,7564 133,7564 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-13 1 1 133,641 133,641 133,641 133,641 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-14 1 1 133,6982 133,6982 133,6982 133,6982 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-15 1 1 134,1839 134,1839 134,1839 134,1839 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-16 1 1 134,7364 134,7364 134,7364 134,7364 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-19 1 1 135,5235 135,5235 135,5235 135,5235 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-20 1 1 135,5806 135,5806 135,5806 135,5806 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-21 1 1 134,0599 134,0599 134,0599 134,0599 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-22 1 1 134,0591 134,0591 134,0591 134,0591 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-23 1 1 134,7134 134,7134 134,7134 134,7134 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-26 1 1 136,4929 136,4929 136,4929 136,4929 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-27 1 1 136,658 136,658 136,658 136,658 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-28 1 1 137,3672 137,3672 137,3672 137,3672 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-29 1 1 136,9893 136,9893 136,9893 136,9893 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-09-30 1 1 137,293 137,293 137,293 137,293 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-03 1 1 138,622 138,622 138,622 138,622 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-04 1 1 138,752 138,752 138,752 138,752 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-05 1 1 137,2957 137,2957 137,2957 137,2957 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-06 1 1 134,3325 134,3325 134,3325 134,3325 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-07 1 1 134,3274 134,3274 134,3274 134,3274 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-10 1 1 135,0932 135,0932 135,0932 135,0932 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-11 1 1 135,6536 135,6536 135,6536 135,6536 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-12 1 1 134,9921 134,9921 134,9921 134,9921 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-13 1 1 133,9555 133,9555 133,9555 133,9555 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-14 1 1 134,3458 134,3458 134,3458 134,3458 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-17 1 1 134,5156 134,5156 134,5156 134,5156 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-18 1 1 134,6646 134,6646 134,6646 134,6646 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-19 1 1 132,3895 132,3895 132,3895 132,3895 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-20 1 1 133,819 133,819 133,819 133,819 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-21 1 1 132,6175 132,6175 132,6175 132,6175 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-24 1 1 134,2126 134,2126 134,2126 134,2126 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-25 1 1 134,1394 134,1394 134,1394 134,1394 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-26 1 1 134,3976 134,3976 134,3976 134,3976 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-27 1 1 133,4718 133,4718 133,4718 133,4718 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-28 1 1 133,1713 133,1713 133,1713 133,1713 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-10-31 1 1 136,4376 136,4376 136,4376 136,4376 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-01 1 1 137,6795 137,6795 137,6795 137,6795 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-02 1 1 138,2044 138,2044 138,2044 138,2044 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-03 1 1 140,1154 140,1154 140,1154 140,1154 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-04 1 1 140,5904 140,5904 140,5904 140,5904 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-07 1 1 141,5514 141,5514 141,5514 141,5514 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-08 1 1 140,493 140,493 140,493 140,493 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-09 1 1 141,4336 141,4336 141,4336 141,4336 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-10 1 1 141,8642 141,8642 141,8642 141,8642 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-11 1 1 142,4168 142,4168 142,4168 142,4168 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-14 1 1 142,7919 142,7919 142,7919 142,7919 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-15 1 1 143,0733 143,0733 143,0733 143,0733 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-16 1 1 142,9444 142,9444 142,9444 142,9444 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-17 1 1 143,7101 143,7101 143,7101 143,7101 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-18 1 1 144,5371 144,5371 144,5371 144,5371 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-21 1 1 143,7799 143,7799 143,7799 143,7799 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-22 1 1 144,1506 144,1506 144,1506 144,1506 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-23 1 1 143,9819 143,9819 143,9819 143,9819 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-24 1 1 144,0459 144,0459 144,0459 144,0459 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-25 1 1 144,3863 144,3863 144,3863 144,3863 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-28 1 1 144,0859 144,0859 144,0859 144,0859 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-29 1 1 144,2972 144,2972 144,2972 144,2972 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-11-30 1 1 143,8247 143,8247 143,8247 143,8247 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-01 1 1 144,9707 144,9707 144,9707 144,9707 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-02 1 1 145,5254 145,5254 145,5254 145,5254 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-05 1 1 145,1798 145,1798 145,1798 145,1798 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-06 1 1 144,7618 144,7618 144,7618 144,7618 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-07 1 1 145,7091 145,7091 145,7091 145,7091 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-08 1 1 145,148 145,148 145,148 145,148 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-12 1 1 145,514 145,514 145,514 145,514 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-13 1 1 145,7406 145,7406 145,7406 145,7406 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-14 1 1 145,2287 145,2287 145,2287 145,2287 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-15 1 1 145,421 145,421 145,421 145,421 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-16 1 1 145,9974 145,9974 145,9974 145,9974 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-19 1 1 145,7192 145,7192 145,7192 145,7192 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-20 1 1 145,8677 145,8677 145,8677 145,8677 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-21 1 1 147,3016 147,3016 147,3016 147,3016 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-22 1 1 147,5636 147,5636 147,5636 147,5636 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-23 1 1 148,2914 148,2914 148,2914 148,2914 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-27 1 1 148,5971 148,5971 148,5971 148,5971 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-28 1 1 147,36 147,36 147,36 147,36 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-29 1 1 148,143 148,143 148,143 148,143 814772 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2015 SEK 2005-12-30 1 1 147,3429 147,3429 147,3429 147,3429 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-03 1 1 111,7889 111,7889 111,7889 111,7889 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-04 1 1 112,4358 112,4358 112,4358 112,4358 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-05 1 1 111,6831 111,6831 111,6831 111,6831 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-07 1 1 112,2436 112,2436 112,2436 112,2436 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-10 1 1 112,964 112,964 112,964 112,964 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-11 1 1 112,1996 112,1996 112,1996 112,1996 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-12 1 1 111,2685 111,2685 111,2685 111,2685 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-13 1 1 111,4455 111,4455 111,4455 111,4455 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-14 1 1 112,0226 112,0226 112,0226 112,0226 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-17 1 1 112,7983 112,7983 112,7983 112,7983 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-18 1 1 112,3061 112,3061 112,3061 112,3061 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-19 1 1 113,172 113,172 113,172 113,172 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-20 1 1 112,4009 112,4009 112,4009 112,4009 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-21 1 1 112,1147 112,1147 112,1147 112,1147 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-24 1 1 111,3313 111,3313 111,3313 111,3313 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-25 1 1 112,263 112,263 112,263 112,263 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-26 1 1 112,5186 112,5186 112,5186 112,5186 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-27 1 1 112,6559 112,6559 112,6559 112,6559 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-28 1 1 112,7903 112,7903 112,7903 112,7903 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-01-31 1 1 113,3222 113,3222 113,3222 113,3222 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-01 1 1 113,572 113,572 113,572 113,572 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-02 1 1 114,0303 114,0303 114,0303 114,0303 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-03 1 1 114,061 114,061 114,061 114,061 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-04 1 1 114,6824 114,6824 114,6824 114,6824 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-07 1 1 116,3281 116,3281 116,3281 116,3281 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-08 1 1 116,7479 116,7479 116,7479 116,7479 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-09 1 1 116,7931 116,7931 116,7931 116,7931 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-10 1 1 115,8621 115,8621 115,8621 115,8621 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-11 1 1 116,1185 116,1185 116,1185 116,1185 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-14 1 1 116,6306 116,6306 116,6306 116,6306 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-15 1 1 116,7365 116,7365 116,7365 116,7365 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-16 1 1 116,0539 116,0539 116,0539 116,0539 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-17 1 1 116,259 116,259 116,259 116,259 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-18 1 1 115,769 115,769 115,769 115,769 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-21 1 1 116,4195 116,4195 116,4195 116,4195 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-22 1 1 115,0053 115,0053 115,0053 115,0053 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-23 1 1 114,5041 114,5041 114,5041 114,5041 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-24 1 1 114,5414 114,5414 114,5414 114,5414 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-25 1 1 115,5888 115,5888 115,5888 115,5888 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-02-28 1 1 116,0318 116,0318 116,0318 116,0318 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-01 1 1 116,3845 116,3845 116,3845 116,3845 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-02 1 1 116,8485 116,8485 116,8485 116,8485 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-03 1 1 117,2806 117,2806 117,2806 117,2806 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-04 1 1 117,2428 117,2428 117,2428 117,2428 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-07 1 1 117,3968 117,3968 117,3968 117,3968 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-08 1 1 116,7934 116,7934 116,7934 116,7934 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-09 1 1 116,1833 116,1833 116,1833 116,1833 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-10 1 1 115,5938 115,5938 115,5938 115,5938 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-11 1 1 113,5108 113,5108 113,5108 113,5108 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-14 1 1 113,7557 113,7557 113,7557 113,7557 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-15 1 1 114,1987 114,1987 114,1987 114,1987 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-16 1 1 112,8484 112,8484 112,8484 112,8484 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-17 1 1 112,5415 112,5415 112,5415 112,5415 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-18 1 1 113,2749 113,2749 113,2749 113,2749 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-21 1 1 113,5047 113,5047 113,5047 113,5047 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-22 1 1 113,46 113,46 113,46 113,46 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-23 1 1 113,2016 113,2016 113,2016 113,2016 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-24 1 1 113,689 113,689 113,689 113,689 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-29 1 1 113,9047 113,9047 113,9047 113,9047 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-30 1 1 113,058 113,058 113,058 113,058 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-03-31 1 1 114,0343 114,0343 114,0343 114,0343 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-01 1 1 114,5918 114,5918 114,5918 114,5918 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-04 1 1 114,47 114,47 114,47 114,47 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-05 1 1 115,3851 115,3851 115,3851 115,3851 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-06 1 1 115,6124 115,6124 115,6124 115,6124 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-07 1 1 115,5875 115,5875 115,5875 115,5875 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-08 1 1 116,4988 116,4988 116,4988 116,4988 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-11 1 1 115,8288 115,8288 115,8288 115,8288 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-12 1 1 115,6025 115,6025 115,6025 115,6025 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-13 1 1 116,3642 116,3642 116,3642 116,3642 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-14 1 1 116,65 116,65 116,65 116,65 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-15 1 1 114,7391 114,7391 114,7391 114,7391 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-18 1 1 112,7374 112,7374 112,7374 112,7374 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-19 1 1 113,4124 113,4124 113,4124 113,4124 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-20 1 1 113,153 113,153 113,153 113,153 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-21 1 1 113,0313 113,0313 113,0313 113,0313 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-22 1 1 113,7669 113,7669 113,7669 113,7669 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-25 1 1 114,044 114,044 114,044 114,044 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-26 1 1 113,5977 113,5977 113,5977 113,5977 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-27 1 1 112,1049 112,1049 112,1049 112,1049 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-28 1 1 112,3691 112,3691 112,3691 112,3691 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-04-29 1 1 112,7369 112,7369 112,7369 112,7369 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-02 1 1 114,0755 114,0755 114,0755 114,0755 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-03 1 1 114,0609 114,0609 114,0609 114,0609 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-04 1 1 113,7954 113,7954 113,7954 113,7954 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-06 1 1 115,5656 115,5656 115,5656 115,5656 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-09 1 1 115,4628 115,4628 115,4628 115,4628 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-10 1 1 115,2239 115,2239 115,2239 115,2239 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-11 1 1 115,2941 115,2941 115,2941 115,2941 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-12 1 1 116,3411 116,3411 116,3411 116,3411 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-13 1 1 116,1173 116,1173 116,1173 116,1173 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-16 1 1 116,1488 116,1488 116,1488 116,1488 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-17 1 1 116,4838 116,4838 116,4838 116,4838 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-18 1 1 117,6075 117,6075 117,6075 117,6075 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-19 1 1 118,2648 118,2648 118,2648 118,2648 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-20 1 1 118,3103 118,3103 118,3103 118,3103 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-23 1 1 118,4904 118,4904 118,4904 118,4904 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-24 1 1 118,6287 118,6287 118,6287 118,6287 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-25 1 1 118,4051 118,4051 118,4051 118,4051 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-26 1 1 119,4617 119,4617 119,4617 119,4617 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-27 1 1 119,7196 119,7196 119,7196 119,7196 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-30 1 1 120,2354 120,2354 120,2354 120,2354 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-05-31 1 1 120,6713 120,6713 120,6713 120,6713 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-01 1 1 121,2282 121,2282 121,2282 121,2282 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-02 1 1 121,5573 121,5573 121,5573 121,5573 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-03 1 1 121,4234 121,4234 121,4234 121,4234 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-07 1 1 122,0593 122,0593 122,0593 122,0593 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-08 1 1 122,4291 122,4291 122,4291 122,4291 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-09 1 1 122,2876 122,2876 122,2876 122,2876 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-10 1 1 123,6793 123,6793 123,6793 123,6793 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-13 1 1 124,3338 124,3338 124,3338 124,3338 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-14 1 1 125,15 125,15 125,15 125,15 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-15 1 1 124,9426 124,9426 124,9426 124,9426 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-16 1 1 125,0093 125,0093 125,0093 125,0093 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-17 1 1 125,1022 125,1022 125,1022 125,1022 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-20 1 1 124,8946 124,8946 124,8946 124,8946 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-21 1 1 125,5983 125,5983 125,5983 125,5983 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-22 1 1 126,4851 126,4851 126,4851 126,4851 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-23 1 1 127,8944 127,8944 127,8944 127,8944 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-27 1 1 125,3705 125,3705 125,3705 125,3705 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-28 1 1 126,5839 126,5839 126,5839 126,5839 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-29 1 1 127,9128 127,9128 127,9128 127,9128 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-06-30 1 1 128,0246 128,0246 128,0246 128,0246 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-01 1 1 128,2192 128,2192 128,2192 128,2192 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-04 1 1 129,3993 129,3993 129,3993 129,3993 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-05 1 1 128,6314 128,6314 128,6314 128,6314 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-06 1 1 128,9261 128,9261 128,9261 128,9261 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-07 1 1 127,2525 127,2525 127,2525 127,2525 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-08 1 1 128,6124 128,6124 128,6124 128,6124 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-11 1 1 130,1924 130,1924 130,1924 130,1924 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-12 1 1 129,293 129,293 129,293 129,293 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-13 1 1 129,3851 129,3851 129,3851 129,3851 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-14 1 1 130,2962 130,2962 130,2962 130,2962 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-15 1 1 130,1894 130,1894 130,1894 130,1894 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-18 1 1 130,0128 130,0128 130,0128 130,0128 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-19 1 1 130,9758 130,9758 130,9758 130,9758 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-20 1 1 130,4337 130,4337 130,4337 130,4337 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-21 1 1 130,8304 130,8304 130,8304 130,8304 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-22 1 1 130,8902 130,8902 130,8902 130,8902 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-25 1 1 130,9573 130,9573 130,9573 130,9573 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-26 1 1 131,8708 131,8708 131,8708 131,8708 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-27 1 1 132,019 132,019 132,019 132,019 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-28 1 1 132,1806 132,1806 132,1806 132,1806 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-07-29 1 1 132,4486 132,4486 132,4486 132,4486 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-01 1 1 131,6146 131,6146 131,6146 131,6146 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-02 1 1 131,8924 131,8924 131,8924 131,8924 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-03 1 1 131,797 131,797 131,797 131,797 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-04 1 1 130,6337 130,6337 130,6337 130,6337 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-05 1 1 130,025 130,025 130,025 130,025 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-08 1 1 129,8119 129,8119 129,8119 129,8119 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-09 1 1 130,3017 130,3017 130,3017 130,3017 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-10 1 1 131,5154 131,5154 131,5154 131,5154 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-11 1 1 131,1044 131,1044 131,1044 131,1044 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-12 1 1 130,6494 130,6494 130,6494 130,6494 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-15 1 1 130,7597 130,7597 130,7597 130,7597 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-16 1 1 131,3186 131,3186 131,3186 131,3186 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-17 1 1 130,8615 130,8615 130,8615 130,8615 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-18 1 1 131,2568 131,2568 131,2568 131,2568 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-19 1 1 132,2245 132,2245 132,2245 132,2245 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-22 1 1 132,4813 132,4813 132,4813 132,4813 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-23 1 1 131,743 131,743 131,743 131,743 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-24 1 1 130,0491 130,0491 130,0491 130,0491 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-25 1 1 129,2824 129,2824 129,2824 129,2824 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-26 1 1 128,3535 128,3535 128,3535 128,3535 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-29 1 1 128,4055 128,4055 128,4055 128,4055 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-30 1 1 129,6018 129,6018 129,6018 129,6018 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-08-31 1 1 129,3369 129,3369 129,3369 129,3369 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-01 1 1 129,9091 129,9091 129,9091 129,9091 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-02 1 1 128,9794 128,9794 128,9794 128,9794 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-05 1 1 129,3358 129,3358 129,3358 129,3358 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-06 1 1 130,5837 130,5837 130,5837 130,5837 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-07 1 1 131,2903 131,2903 131,2903 131,2903 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-08 1 1 131,575 131,575 131,575 131,575 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-09 1 1 132,0773 132,0773 132,0773 132,0773 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-12 1 1 133,228 133,228 133,228 133,228 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-13 1 1 133,1122 133,1122 133,1122 133,1122 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-14 1 1 133,1681 133,1681 133,1681 133,1681 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-15 1 1 133,6521 133,6521 133,6521 133,6521 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-16 1 1 134,2023 134,2023 134,2023 134,2023 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-19 1 1 134,9874 134,9874 134,9874 134,9874 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-20 1 1 135,0434 135,0434 135,0434 135,0434 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-21 1 1 133,5281 133,5281 133,5281 133,5281 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-22 1 1 133,5277 133,5277 133,5277 133,5277 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-23 1 1 134,1799 134,1799 134,1799 134,1799 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-26 1 1 135,9531 135,9531 135,9531 135,9531 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-27 1 1 136,118 136,118 136,118 136,118 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-28 1 1 136,8252 136,8252 136,8252 136,8252 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-29 1 1 136,4487 136,4487 136,4487 136,4487 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-09-30 1 1 136,7521 136,7521 136,7521 136,7521 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-03 1 1 138,0777 138,0777 138,0777 138,0777 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-04 1 1 138,2047 138,2047 138,2047 138,2047 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-05 1 1 136,7519 136,7519 136,7519 136,7519 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-06 1 1 133,7962 133,7962 133,7962 133,7962 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-07 1 1 133,7915 133,7915 133,7915 133,7915 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-10 1 1 134,5538 134,5538 134,5538 134,5538 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-11 1 1 135,1143 135,1143 135,1143 135,1143 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-12 1 1 134,4516 134,4516 134,4516 134,4516 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-13 1 1 133,4151 133,4151 133,4151 133,4151 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-14 1 1 133,8077 133,8077 133,8077 133,8077 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-17 1 1 133,9774 133,9774 133,9774 133,9774 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-18 1 1 134,1248 134,1248 134,1248 134,1248 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-19 1 1 131,856 131,856 131,856 131,856 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-20 1 1 133,2835 133,2835 133,2835 133,2835 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-21 1 1 132,0803 132,0803 132,0803 132,0803 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-24 1 1 133,6755 133,6755 133,6755 133,6755 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-25 1 1 133,6033 133,6033 133,6033 133,6033 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-26 1 1 133,8603 133,8603 133,8603 133,8603 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-27 1 1 132,9363 132,9363 132,9363 132,9363 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-28 1 1 132,6365 132,6365 132,6365 132,6365 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-10-31 1 1 135,8944 135,8944 135,8944 135,8944 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-01 1 1 137,1344 137,1344 137,1344 137,1344 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-02 1 1 137,6577 137,6577 137,6577 137,6577 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-03 1 1 139,5635 139,5635 139,5635 139,5635 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-04 1 1 140,0371 140,0371 140,0371 140,0371 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-07 1 1 140,9941 140,9941 140,9941 140,9941 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-08 1 1 139,9388 139,9388 139,9388 139,9388 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-09 1 1 140,8774 140,8774 140,8774 140,8774 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-10 1 1 141,3075 141,3075 141,3075 141,3075 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-11 1 1 141,8588 141,8588 141,8588 141,8588 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-14 1 1 142,2334 142,2334 142,2334 142,2334 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-15 1 1 142,513 142,513 142,513 142,513 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-16 1 1 142,384 142,384 142,384 142,384 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-17 1 1 143,1483 143,1483 143,1483 143,1483 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-18 1 1 143,9723 143,9723 143,9723 143,9723 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-21 1 1 143,2171 143,2171 143,2171 143,2171 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-22 1 1 143,5842 143,5842 143,5842 143,5842 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-23 1 1 143,4147 143,4147 143,4147 143,4147 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-24 1 1 143,4773 143,4773 143,4773 143,4773 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-25 1 1 143,8153 143,8153 143,8153 143,8153 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-28 1 1 143,5235 143,5235 143,5235 143,5235 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-29 1 1 143,7333 143,7333 143,7333 143,7333 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-11-30 1 1 143,2607 143,2607 143,2607 143,2607 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-01 1 1 144,4069 144,4069 144,4069 144,4069 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-02 1 1 144,9593 144,9593 144,9593 144,9593 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-05 1 1 144,616 144,616 144,616 144,616 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-06 1 1 144,1985 144,1985 144,1985 144,1985 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-07 1 1 145,1437 145,1437 145,1437 145,1437 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-08 1 1 144,5819 144,5819 144,5819 144,5819 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-12 1 1 144,9501 144,9501 144,9501 144,9501 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-13 1 1 145,1752 145,1752 145,1752 145,1752 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-14 1 1 144,6638 144,6638 144,6638 144,6638 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-15 1 1 144,8558 144,8558 144,8558 144,8558 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-16 1 1 145,4305 145,4305 145,4305 145,4305 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-19 1 1 145,1528 145,1528 145,1528 145,1528 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-20 1 1 145,3005 145,3005 145,3005 145,3005 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-21 1 1 146,7345 146,7345 146,7345 146,7345 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-22 1 1 146,9967 146,9967 146,9967 146,9967 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-23 1 1 147,7226 147,7226 147,7226 147,7226 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-27 1 1 148,0281 148,0281 148,0281 148,0281 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-28 1 1 146,7934 146,7934 146,7934 146,7934 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-29 1 1 147,578 147,578 147,578 147,578 778944 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2020 SEK 2005-12-30 1 1 146,7683 146,7683 146,7683 146,7683 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-03 1 1 113,0515 113,0515 113,0515 113,0515 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-04 1 1 113,7039 113,7039 113,7039 113,7039 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-05 1 1 112,9447 112,9447 112,9447 112,9447 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-07 1 1 113,5088 113,5088 113,5088 113,5088 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-10 1 1 114,2346 114,2346 114,2346 114,2346 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-11 1 1 113,4626 113,4626 113,4626 113,4626 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-12 1 1 112,523 112,523 112,523 112,523 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-13 1 1 112,7011 112,7011 112,7011 112,7011 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-14 1 1 113,2826 113,2826 113,2826 113,2826 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-17 1 1 114,066 114,066 114,066 114,066 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-18 1 1 113,5689 113,5689 113,5689 113,5689 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-19 1 1 114,4456 114,4456 114,4456 114,4456 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-20 1 1 113,6651 113,6651 113,6651 113,6651 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-21 1 1 113,3773 113,3773 113,3773 113,3773 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-24 1 1 112,5873 112,5873 112,5873 112,5873 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-25 1 1 113,5302 113,5302 113,5302 113,5302 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-26 1 1 113,7879 113,7879 113,7879 113,7879 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-27 1 1 113,9198 113,9198 113,9198 113,9198 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-28 1 1 114,0554 114,0554 114,0554 114,0554 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-01-31 1 1 114,5933 114,5933 114,5933 114,5933 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-01 1 1 114,846 114,846 114,846 114,846 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-02 1 1 115,3085 115,3085 115,3085 115,3085 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-03 1 1 115,3396 115,3396 115,3396 115,3396 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-04 1 1 115,9694 115,9694 115,9694 115,9694 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-07 1 1 117,6338 117,6338 117,6338 117,6338 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-08 1 1 118,0581 118,0581 118,0581 118,0581 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-09 1 1 118,103 118,103 118,103 118,103 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-10 1 1 117,1615 117,1615 117,1615 117,1615 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-11 1 1 117,4215 117,4215 117,4215 117,4215 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-14 1 1 117,9394 117,9394 117,9394 117,9394 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-15 1 1 118,0465 118,0465 118,0465 118,0465 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-16 1 1 117,357 117,357 117,357 117,357 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-17 1 1 117,5644 117,5644 117,5644 117,5644 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-18 1 1 117,0702 117,0702 117,0702 117,0702 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-21 1 1 117,7268 117,7268 117,7268 117,7268 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-22 1 1 116,2978 116,2978 116,2978 116,2978 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-23 1 1 115,7922 115,7922 115,7922 115,7922 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-24 1 1 115,8292 115,8292 115,8292 115,8292 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-25 1 1 116,8882 116,8882 116,8882 116,8882 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-02-28 1 1 117,3353 117,3353 117,3353 117,3353 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-01 1 1 117,6922 117,6922 117,6922 117,6922 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-02 1 1 118,1596 118,1596 118,1596 118,1596 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-03 1 1 118,5969 118,5969 118,5969 118,5969 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-04 1 1 118,5583 118,5583 118,5583 118,5583 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-07 1 1 118,7131 118,7131 118,7131 118,7131 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-08 1 1 118,1032 118,1032 118,1032 118,1032 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-09 1 1 117,4873 117,4873 117,4873 117,4873 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-10 1 1 116,8941 116,8941 116,8941 116,8941 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-11 1 1 114,8117 114,8117 114,8117 114,8117 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-14 1 1 115,0597 115,0597 115,0597 115,0597 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-15 1 1 115,5089 115,5089 115,5089 115,5089 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-16 1 1 114,1428 114,1428 114,1428 114,1428 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-17 1 1 113,8342 113,8342 113,8342 113,8342 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-18 1 1 114,5731 114,5731 114,5731 114,5731 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-21 1 1 114,8035 114,8035 114,8035 114,8035 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-22 1 1 114,7573 114,7573 114,7573 114,7573 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-23 1 1 114,4937 114,4937 114,4937 114,4937 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-24 1 1 114,9872 114,9872 114,9872 114,9872 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-29 1 1 115,2057 115,2057 115,2057 115,2057 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-30 1 1 114,3473 114,3473 114,3473 114,3473 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-03-31 1 1 115,3366 115,3366 115,3366 115,3366 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-01 1 1 115,8945 115,8945 115,8945 115,8945 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-04 1 1 115,776 115,776 115,776 115,776 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-05 1 1 116,7031 116,7031 116,7031 116,7031 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-06 1 1 116,934 116,934 116,934 116,934 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-07 1 1 116,9087 116,9087 116,9087 116,9087 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-08 1 1 117,8311 117,8311 117,8311 117,8311 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-11 1 1 117,1527 117,1527 117,1527 117,1527 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-12 1 1 116,924 116,924 116,924 116,924 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-13 1 1 117,6949 117,6949 117,6949 117,6949 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-14 1 1 117,9821 117,9821 117,9821 117,9821 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-15 1 1 116,048 116,048 116,048 116,048 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-18 1 1 114,0223 114,0223 114,0223 114,0223 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-19 1 1 114,7059 114,7059 114,7059 114,7059 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-20 1 1 114,4436 114,4436 114,4436 114,4436 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-21 1 1 114,321 114,321 114,321 114,321 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-22 1 1 115,0646 115,0646 115,0646 115,0646 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-25 1 1 115,3461 115,3461 115,3461 115,3461 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-26 1 1 114,8951 114,8951 114,8951 114,8951 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-27 1 1 113,385 113,385 113,385 113,385 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-28 1 1 113,6527 113,6527 113,6527 113,6527 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-04-29 1 1 114,0237 114,0237 114,0237 114,0237 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-02 1 1 115,378 115,378 115,378 115,378 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-03 1 1 115,3629 115,3629 115,3629 115,3629 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-04 1 1 115,0946 115,0946 115,0946 115,0946 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-06 1 1 116,8839 116,8839 116,8839 116,8839 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-09 1 1 116,7801 116,7801 116,7801 116,7801 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-10 1 1 116,5396 116,5396 116,5396 116,5396 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-11 1 1 116,6099 116,6099 116,6099 116,6099 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-12 1 1 117,6687 117,6687 117,6687 117,6687 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-13 1 1 117,4419 117,4419 117,4419 117,4419 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-16 1 1 117,4728 117,4728 117,4728 117,4728 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-17 1 1 117,8114 117,8114 117,8114 117,8114 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-18 1 1 118,9463 118,9463 118,9463 118,9463 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-19 1 1 119,611 119,611 119,611 119,611 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-20 1 1 119,6569 119,6569 119,6569 119,6569 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-23 1 1 119,8378 119,8378 119,8378 119,8378 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-24 1 1 119,9772 119,9772 119,9772 119,9772 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-25 1 1 119,7521 119,7521 119,7521 119,7521 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-26 1 1 120,8191 120,8191 120,8191 120,8191 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-27 1 1 121,0802 121,0802 121,0802 121,0802 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-30 1 1 121,6012 121,6012 121,6012 121,6012 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-05-31 1 1 122,0405 122,0405 122,0405 122,0405 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-01 1 1 122,6036 122,6036 122,6036 122,6036 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-02 1 1 122,9354 122,9354 122,9354 122,9354 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-03 1 1 122,8007 122,8007 122,8007 122,8007 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-07 1 1 123,4434 123,4434 123,4434 123,4434 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-08 1 1 123,8167 123,8167 123,8167 123,8167 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-09 1 1 123,674 123,674 123,674 123,674 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-10 1 1 125,0787 125,0787 125,0787 125,0787 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-13 1 1 125,7416 125,7416 125,7416 125,7416 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-14 1 1 126,5663 126,5663 126,5663 126,5663 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-15 1 1 126,3572 126,3572 126,3572 126,3572 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-16 1 1 126,4271 126,4271 126,4271 126,4271 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-17 1 1 126,5183 126,5183 126,5183 126,5183 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-20 1 1 126,3101 126,3101 126,3101 126,3101 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-21 1 1 127,0199 127,0199 127,0199 127,0199 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-22 1 1 127,9161 127,9161 127,9161 127,9161 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-23 1 1 129,3315 129,3315 129,3315 129,3315 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-27 1 1 126,7865 126,7865 126,7865 126,7865 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-28 1 1 128,0115 128,0115 128,0115 128,0115 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-29 1 1 129,3524 129,3524 129,3524 129,3524 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-06-30 1 1 129,4644 129,4644 129,4644 129,4644 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-01 1 1 129,6611 129,6611 129,6611 129,6611 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-04 1 1 130,851 130,851 130,851 130,851 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-05 1 1 130,0768 130,0768 130,0768 130,0768 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-06 1 1 130,3739 130,3739 130,3739 130,3739 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-07 1 1 128,6861 128,6861 128,6861 128,6861 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-08 1 1 130,0594 130,0594 130,0594 130,0594 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-11 1 1 131,654 131,654 131,654 131,654 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-12 1 1 130,7472 130,7472 130,7472 130,7472 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-13 1 1 130,8412 130,8412 130,8412 130,8412 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-14 1 1 131,76 131,76 131,76 131,76 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-15 1 1 131,6514 131,6514 131,6514 131,6514 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-18 1 1 131,4728 131,4728 131,4728 131,4728 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-19 1 1 132,4453 132,4453 132,4453 132,4453 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-20 1 1 131,8979 131,8979 131,8979 131,8979 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-21 1 1 132,298 132,298 132,298 132,298 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-22 1 1 132,3584 132,3584 132,3584 132,3584 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-25 1 1 132,4264 132,4264 132,4264 132,4264 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-26 1 1 133,347 133,347 133,347 133,347 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-27 1 1 133,496 133,496 133,496 133,496 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-28 1 1 133,6613 133,6613 133,6613 133,6613 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-07-29 1 1 133,9262 133,9262 133,9262 133,9262 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-01 1 1 133,0841 133,0841 133,0841 133,0841 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-02 1 1 133,3647 133,3647 133,3647 133,3647 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-03 1 1 133,2663 133,2663 133,2663 133,2663 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-04 1 1 132,0901 132,0901 132,0901 132,0901 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-05 1 1 131,4738 131,4738 131,4738 131,4738 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-08 1 1 131,2576 131,2576 131,2576 131,2576 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-09 1 1 131,7506 131,7506 131,7506 131,7506 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-10 1 1 132,9773 132,9773 132,9773 132,9773 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-11 1 1 132,5621 132,5621 132,5621 132,5621 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-12 1 1 132,1032 132,1032 132,1032 132,1032 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-15 1 1 132,2158 132,2158 132,2158 132,2158 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-16 1 1 132,7796 132,7796 132,7796 132,7796 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-17 1 1 132,3185 132,3185 132,3185 132,3185 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-18 1 1 132,7197 132,7197 132,7197 132,7197 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-19 1 1 133,6976 133,6976 133,6976 133,6976 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-22 1 1 133,9577 133,9577 133,9577 133,9577 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-23 1 1 133,212 133,212 133,212 133,212 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-24 1 1 131,502 131,502 131,502 131,502 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-25 1 1 130,7268 130,7268 130,7268 130,7268 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-26 1 1 129,7898 129,7898 129,7898 129,7898 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-29 1 1 129,8421 129,8421 129,8421 129,8421 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-30 1 1 131,0496 131,0496 131,0496 131,0496 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-08-31 1 1 130,7776 130,7776 130,7776 130,7776 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-01 1 1 131,3564 131,3564 131,3564 131,3564 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-02 1 1 130,4184 130,4184 130,4184 130,4184 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-05 1 1 130,7797 130,7797 130,7797 130,7797 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-06 1 1 132,0402 132,0402 132,0402 132,0402 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-07 1 1 132,7543 132,7543 132,7543 132,7543 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-08 1 1 133,0401 133,0401 133,0401 133,0401 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-09 1 1 133,5493 133,5493 133,5493 133,5493 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-12 1 1 134,71 134,71 134,71 134,71 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-13 1 1 134,5922 134,5922 134,5922 134,5922 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-14 1 1 134,648 134,648 134,648 134,648 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-15 1 1 135,136 135,136 135,136 135,136 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-16 1 1 135,6912 135,6912 135,6912 135,6912 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-19 1 1 136,4834 136,4834 136,4834 136,4834 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-20 1 1 136,5386 136,5386 136,5386 136,5386 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-21 1 1 135,0059 135,0059 135,0059 135,0059 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-22 1 1 135,0055 135,0055 135,0055 135,0055 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-23 1 1 135,6645 135,6645 135,6645 135,6645 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-26 1 1 137,4568 137,4568 137,4568 137,4568 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-27 1 1 137,6244 137,6244 137,6244 137,6244 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-28 1 1 138,3397 138,3397 138,3397 138,3397 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-29 1 1 137,9572 137,9572 137,9572 137,9572 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-09-30 1 1 138,2646 138,2646 138,2646 138,2646 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-03 1 1 139,6056 139,6056 139,6056 139,6056 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-04 1 1 139,7332 139,7332 139,7332 139,7332 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-05 1 1 138,2636 138,2636 138,2636 138,2636 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-06 1 1 135,2726 135,2726 135,2726 135,2726 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-07 1 1 135,2678 135,2678 135,2678 135,2678 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-10 1 1 136,0385 136,0385 136,0385 136,0385 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-11 1 1 136,6066 136,6066 136,6066 136,6066 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-12 1 1 135,9334 135,9334 135,9334 135,9334 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-13 1 1 134,8825 134,8825 134,8825 134,8825 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-14 1 1 135,2836 135,2836 135,2836 135,2836 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-17 1 1 135,4538 135,4538 135,4538 135,4538 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-18 1 1 135,6038 135,6038 135,6038 135,6038 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-19 1 1 133,3092 133,3092 133,3092 133,3092 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-20 1 1 134,755 134,755 134,755 134,755 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-21 1 1 133,5388 133,5388 133,5388 133,5388 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-24 1 1 135,153 135,153 135,153 135,153 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-25 1 1 135,0815 135,0815 135,0815 135,0815 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-26 1 1 135,3399 135,3399 135,3399 135,3399 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-27 1 1 134,4063 134,4063 134,4063 134,4063 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-28 1 1 134,1024 134,1024 134,1024 134,1024 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-10-31 1 1 137,3963 137,3963 137,3963 137,3963 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-01 1 1 138,6521 138,6521 138,6521 138,6521 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-02 1 1 139,1828 139,1828 139,1828 139,1828 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-03 1 1 141,1101 141,1101 141,1101 141,1101 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-04 1 1 141,5875 141,5875 141,5875 141,5875 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-07 1 1 142,5559 142,5559 142,5559 142,5559 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-08 1 1 141,4877 141,4877 141,4877 141,4877 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-09 1 1 142,4373 142,4373 142,4373 142,4373 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-10 1 1 142,8727 142,8727 142,8727 142,8727 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-11 1 1 143,4303 143,4303 143,4303 143,4303 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-14 1 1 143,8098 143,8098 143,8098 143,8098 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-15 1 1 144,0922 144,0922 144,0922 144,0922 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-16 1 1 143,9606 143,9606 143,9606 143,9606 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-17 1 1 144,7325 144,7325 144,7325 144,7325 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-18 1 1 145,5654 145,5654 145,5654 145,5654 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-21 1 1 144,8027 144,8027 144,8027 144,8027 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-22 1 1 145,1716 145,1716 145,1716 145,1716 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-23 1 1 145,0016 145,0016 145,0016 145,0016 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-24 1 1 145,0652 145,0652 145,0652 145,0652 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-25 1 1 145,4067 145,4067 145,4067 145,4067 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-28 1 1 145,1099 145,1099 145,1099 145,1099 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-29 1 1 145,3228 145,3228 145,3228 145,3228 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-11-30 1 1 144,8434 144,8434 144,8434 144,8434 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-01 1 1 146,0048 146,0048 146,0048 146,0048 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-02 1 1 146,5618 146,5618 146,5618 146,5618 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-05 1 1 146,2164 146,2164 146,2164 146,2164 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-06 1 1 145,7963 145,7963 145,7963 145,7963 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-07 1 1 146,7505 146,7505 146,7505 146,7505 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-08 1 1 146,1805 146,1805 146,1805 146,1805 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-12 1 1 146,5529 146,5529 146,5529 146,5529 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-13 1 1 146,7783 146,7783 146,7783 146,7783 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-14 1 1 146,2633 146,2633 146,2633 146,2633 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-15 1 1 146,4559 146,4559 146,4559 146,4559 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-16 1 1 147,0372 147,0372 147,0372 147,0372 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-19 1 1 146,7568 146,7568 146,7568 146,7568 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-20 1 1 146,9042 146,9042 146,9042 146,9042 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-21 1 1 148,3554 148,3554 148,3554 148,3554 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-22 1 1 148,6191 148,6191 148,6191 148,6191 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-23 1 1 149,3529 149,3529 149,3529 149,3529 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-27 1 1 149,6634 149,6634 149,6634 149,6634 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-28 1 1 148,4147 148,4147 148,4147 148,4147 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-29 1 1 149,2054 149,2054 149,2054 149,2054 743112 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2025 SEK 2005-12-30 1 1 148,3865 148,3865 148,3865 148,3865 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-03 1 1 111,3296 111,3296 111,3296 111,3296 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-04 1 1 111,971 111,971 111,971 111,971 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-05 1 1 111,2216 111,2216 111,2216 111,2216 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-07 1 1 111,777 111,777 111,777 111,777 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-10 1 1 112,4899 112,4899 112,4899 112,4899 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-11 1 1 111,7267 111,7267 111,7267 111,7267 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-12 1 1 110,7933 110,7933 110,7933 110,7933 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-13 1 1 110,9647 110,9647 110,9647 110,9647 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-14 1 1 111,5385 111,5385 111,5385 111,5385 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-17 1 1 112,3121 112,3121 112,3121 112,3121 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-18 1 1 111,8198 111,8198 111,8198 111,8198 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-19 1 1 112,6811 112,6811 112,6811 112,6811 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-20 1 1 111,9125 111,9125 111,9125 111,9125 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-21 1 1 111,6275 111,6275 111,6275 111,6275 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-24 1 1 110,846 110,846 110,846 110,846 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-25 1 1 111,7724 111,7724 111,7724 111,7724 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-26 1 1 112,028 112,028 112,028 112,028 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-27 1 1 112,1663 112,1663 112,1663 112,1663 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-28 1 1 112,2984 112,2984 112,2984 112,2984 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-01-31 1 1 112,829 112,829 112,829 112,829 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-01 1 1 113,0787 113,0787 113,0787 113,0787 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-02 1 1 113,5354 113,5354 113,5354 113,5354 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-03 1 1 113,5658 113,5658 113,5658 113,5658 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-04 1 1 114,1857 114,1857 114,1857 114,1857 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-07 1 1 115,8245 115,8245 115,8245 115,8245 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-08 1 1 116,2443 116,2443 116,2443 116,2443 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-09 1 1 116,2886 116,2886 116,2886 116,2886 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-10 1 1 115,3637 115,3637 115,3637 115,3637 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-11 1 1 115,6196 115,6196 115,6196 115,6196 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-14 1 1 116,1292 116,1292 116,1292 116,1292 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-15 1 1 116,2369 116,2369 116,2369 116,2369 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-16 1 1 115,5561 115,5561 115,5561 115,5561 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-17 1 1 115,7584 115,7584 115,7584 115,7584 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-18 1 1 115,2719 115,2719 115,2719 115,2719 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-21 1 1 115,9179 115,9179 115,9179 115,9179 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-22 1 1 114,51 114,51 114,51 114,51 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-23 1 1 114,0125 114,0125 114,0125 114,0125 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-24 1 1 114,0495 114,0495 114,0495 114,0495 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-25 1 1 115,0921 115,0921 115,0921 115,0921 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-02-28 1 1 115,5323 115,5323 115,5323 115,5323 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-01 1 1 115,877 115,877 115,877 115,877 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-02 1 1 116,3358 116,3358 116,3358 116,3358 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-03 1 1 116,7687 116,7687 116,7687 116,7687 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-04 1 1 116,735 116,735 116,735 116,735 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-07 1 1 116,8897 116,8897 116,8897 116,8897 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-08 1 1 116,2901 116,2901 116,2901 116,2901 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-09 1 1 115,6854 115,6854 115,6854 115,6854 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-10 1 1 115,1013 115,1013 115,1013 115,1013 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-11 1 1 113,0689 113,0689 113,0689 113,0689 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-14 1 1 113,3153 113,3153 113,3153 113,3153 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-15 1 1 113,7589 113,7589 113,7589 113,7589 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-16 1 1 112,4149 112,4149 112,4149 112,4149 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-17 1 1 112,1118 112,1118 112,1118 112,1118 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-18 1 1 112,8364 112,8364 112,8364 112,8364 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-21 1 1 113,0613 113,0613 113,0613 113,0613 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-22 1 1 113,0176 113,0176 113,0176 113,0176 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-23 1 1 112,7545 112,7545 112,7545 112,7545 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-24 1 1 113,241 113,241 113,241 113,241 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-29 1 1 113,4488 113,4488 113,4488 113,4488 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-30 1 1 112,6129 112,6129 112,6129 112,6129 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-03-31 1 1 113,5891 113,5891 113,5891 113,5891 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-01 1 1 114,1374 114,1374 114,1374 114,1374 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-04 1 1 114,0259 114,0259 114,0259 114,0259 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-05 1 1 114,9378 114,9378 114,9378 114,9378 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-06 1 1 115,1642 115,1642 115,1642 115,1642 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-07 1 1 115,1387 115,1387 115,1387 115,1387 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-08 1 1 116,0406 116,0406 116,0406 116,0406 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-11 1 1 115,3852 115,3852 115,3852 115,3852 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-12 1 1 115,157 115,157 115,157 115,157 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-13 1 1 115,9126 115,9126 115,9126 115,9126 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-14 1 1 116,1934 116,1934 116,1934 116,1934 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-15 1 1 114,292 114,292 114,292 114,292 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-18 1 1 112,3022 112,3022 112,3022 112,3022 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-19 1 1 112,9683 112,9683 112,9683 112,9683 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-20 1 1 112,7109 112,7109 112,7109 112,7109 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-21 1 1 112,5892 112,5892 112,5892 112,5892 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-22 1 1 113,3219 113,3219 113,3219 113,3219 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-25 1 1 113,5964 113,5964 113,5964 113,5964 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-26 1 1 113,1538 113,1538 113,1538 113,1538 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-27 1 1 111,6688 111,6688 111,6688 111,6688 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-28 1 1 111,9293 111,9293 111,9293 111,9293 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-04-29 1 1 112,2991 112,2991 112,2991 112,2991 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-02 1 1 113,6321 113,6321 113,6321 113,6321 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-03 1 1 113,6208 113,6208 113,6208 113,6208 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-04 1 1 113,357 113,357 113,357 113,357 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-06 1 1 115,1113 115,1113 115,1113 115,1113 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-09 1 1 115,0081 115,0081 115,0081 115,0081 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-10 1 1 114,7731 114,7731 114,7731 114,7731 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-11 1 1 114,8358 114,8358 114,8358 114,8358 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-12 1 1 115,8775 115,8775 115,8775 115,8775 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-13 1 1 115,6527 115,6527 115,6527 115,6527 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-16 1 1 115,6822 115,6822 115,6822 115,6822 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-17 1 1 116,0153 116,0153 116,0153 116,0153 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-18 1 1 117,1312 117,1312 117,1312 117,1312 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-19 1 1 117,7873 117,7873 117,7873 117,7873 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-20 1 1 117,8315 117,8315 117,8315 117,8315 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-23 1 1 118,0067 118,0067 118,0067 118,0067 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-24 1 1 118,1443 118,1443 118,1443 118,1443 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-25 1 1 117,9249 117,9249 117,9249 117,9249 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-26 1 1 118,9677 118,9677 118,9677 118,9677 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-27 1 1 119,2211 119,2211 119,2211 119,2211 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-30 1 1 119,7339 119,7339 119,7339 119,7339 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-05-31 1 1 120,1667 120,1667 120,1667 120,1667 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-01 1 1 120,7179 120,7179 120,7179 120,7179 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-02 1 1 121,0441 121,0441 121,0441 121,0441 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-03 1 1 120,9168 120,9168 120,9168 120,9168 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-07 1 1 121,5423 121,5423 121,5423 121,5423 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-08 1 1 121,9115 121,9115 121,9115 121,9115 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-09 1 1 121,7704 121,7704 121,7704 121,7704 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-10 1 1 123,1619 123,1619 123,1619 123,1619 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-13 1 1 123,8145 123,8145 123,8145 123,8145 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-14 1 1 124,6263 124,6263 124,6263 124,6263 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-15 1 1 124,4206 124,4206 124,4206 124,4206 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-16 1 1 124,4858 124,4858 124,4858 124,4858 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-17 1 1 124,5836 124,5836 124,5836 124,5836 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-20 1 1 124,3736 124,3736 124,3736 124,3736 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-21 1 1 125,0768 125,0768 125,0768 125,0768 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-22 1 1 125,9595 125,9595 125,9595 125,9595 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-23 1 1 127,3629 127,3629 127,3629 127,3629 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-27 1 1 124,8466 124,8466 124,8466 124,8466 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-28 1 1 126,0498 126,0498 126,0498 126,0498 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-29 1 1 127,3813 127,3813 127,3813 127,3813 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-06-30 1 1 127,4961 127,4961 127,4961 127,4961 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-01 1 1 127,6871 127,6871 127,6871 127,6871 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-04 1 1 128,8532 128,8532 128,8532 128,8532 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-05 1 1 128,0899 128,0899 128,0899 128,0899 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-06 1 1 128,3835 128,3835 128,3835 128,3835 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-07 1 1 126,7206 126,7206 126,7206 126,7206 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-08 1 1 128,078 128,078 128,078 128,078 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-11 1 1 129,6541 129,6541 129,6541 129,6541 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-12 1 1 128,7579 128,7579 128,7579 128,7579 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-13 1 1 128,8543 128,8543 128,8543 128,8543 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-14 1 1 129,7602 129,7602 129,7602 129,7602 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-15 1 1 129,6546 129,6546 129,6546 129,6546 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-18 1 1 129,4806 129,4806 129,4806 129,4806 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-19 1 1 130,439 130,439 130,439 130,439 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-20 1 1 129,8985 129,8985 129,8985 129,8985 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-21 1 1 130,2907 130,2907 130,2907 130,2907 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-22 1 1 130,3432 130,3432 130,3432 130,3432 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-25 1 1 130,4083 130,4083 130,4083 130,4083 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-26 1 1 131,3126 131,3126 131,3126 131,3126 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-27 1 1 131,458 131,458 131,458 131,458 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-28 1 1 131,6259 131,6259 131,6259 131,6259 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-07-29 1 1 131,8881 131,8881 131,8881 131,8881 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-01 1 1 131,0551 131,0551 131,0551 131,0551 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-02 1 1 131,336 131,336 131,336 131,336 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-03 1 1 131,2381 131,2381 131,2381 131,2381 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-04 1 1 130,0766 130,0766 130,0766 130,0766 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-05 1 1 129,4694 129,4694 129,4694 129,4694 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-08 1 1 129,256 129,256 129,256 129,256 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-09 1 1 129,7378 129,7378 129,7378 129,7378 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-10 1 1 130,9505 130,9505 130,9505 130,9505 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-11 1 1 130,5422 130,5422 130,5422 130,5422 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-12 1 1 130,0928 130,0928 130,0928 130,0928 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-15 1 1 130,2025 130,2025 130,2025 130,2025 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-16 1 1 130,752 130,752 130,752 130,752 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-17 1 1 130,2917 130,2917 130,2917 130,2917 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-18 1 1 130,6842 130,6842 130,6842 130,6842 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-19 1 1 131,6455 131,6455 131,6455 131,6455 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-22 1 1 131,8997 131,8997 131,8997 131,8997 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-23 1 1 131,1622 131,1622 131,1622 131,1622 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-24 1 1 129,4809 129,4809 129,4809 129,4809 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-25 1 1 128,7182 128,7182 128,7182 128,7182 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-26 1 1 127,7957 127,7957 127,7957 127,7957 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-29 1 1 127,8467 127,8467 127,8467 127,8467 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-30 1 1 129,0332 129,0332 129,0332 129,0332 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-08-31 1 1 128,7707 128,7707 128,7707 128,7707 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-01 1 1 129,3408 129,3408 129,3408 129,3408 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-02 1 1 128,4213 128,4213 128,4213 128,4213 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-05 1 1 128,7748 128,7748 128,7748 128,7748 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-06 1 1 130,0164 130,0164 130,0164 130,0164 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-07 1 1 130,7187 130,7187 130,7187 130,7187 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-08 1 1 130,999 130,999 130,999 130,999 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-09 1 1 131,4994 131,4994 131,4994 131,4994 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-12 1 1 132,64 132,64 132,64 132,64 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-13 1 1 132,5249 132,5249 132,5249 132,5249 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-14 1 1 132,5804 132,5804 132,5804 132,5804 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-15 1 1 133,0575 133,0575 133,0575 133,0575 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-16 1 1 133,6025 133,6025 133,6025 133,6025 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-19 1 1 134,3807 134,3807 134,3807 134,3807 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-20 1 1 134,435 134,435 134,435 134,435 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-21 1 1 132,9291 132,9291 132,9291 132,9291 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-22 1 1 132,9281 132,9281 132,9281 132,9281 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-23 1 1 133,57 133,57 133,57 133,57 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-26 1 1 135,3306 135,3306 135,3306 135,3306 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-27 1 1 135,4939 135,4939 135,4939 135,4939 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-28 1 1 136,1953 136,1953 136,1953 136,1953 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-29 1 1 135,8177 135,8177 135,8177 135,8177 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-09-30 1 1 136,1216 136,1216 136,1216 136,1216 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-03 1 1 137,4385 137,4385 137,4385 137,4385 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-04 1 1 137,5611 137,5611 137,5611 137,5611 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-05 1 1 136,1175 136,1175 136,1175 136,1175 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-06 1 1 133,1838 133,1838 133,1838 133,1838 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-07 1 1 133,1802 133,1802 133,1802 133,1802 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-10 1 1 133,9331 133,9331 133,9331 133,9331 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-11 1 1 134,4921 134,4921 134,4921 134,4921 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-12 1 1 133,8317 133,8317 133,8317 133,8317 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-13 1 1 132,7986 132,7986 132,7986 132,7986 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-14 1 1 133,1968 133,1968 133,1968 133,1968 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-17 1 1 133,3646 133,3646 133,3646 133,3646 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-18 1 1 133,5122 133,5122 133,5122 133,5122 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-19 1 1 131,2592 131,2592 131,2592 131,2592 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-20 1 1 132,6784 132,6784 132,6784 132,6784 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-21 1 1 131,483 131,483 131,483 131,483 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-24 1 1 133,0721 133,0721 133,0721 133,0721 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-25 1 1 133,0065 133,0065 133,0065 133,0065 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-26 1 1 133,2653 133,2653 133,2653 133,2653 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-27 1 1 132,3426 132,3426 132,3426 132,3426 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-28 1 1 132,0422 132,0422 132,0422 132,0422 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-10-31 1 1 135,2831 135,2831 135,2831 135,2831 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-01 1 1 136,5195 136,5195 136,5195 136,5195 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-02 1 1 137,0366 137,0366 137,0366 137,0366 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-03 1 1 138,9277 138,9277 138,9277 138,9277 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-04 1 1 139,4021 139,4021 139,4021 139,4021 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-07 1 1 140,3527 140,3527 140,3527 140,3527 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-08 1 1 139,2994 139,2994 139,2994 139,2994 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-09 1 1 140,2305 140,2305 140,2305 140,2305 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-10 1 1 140,6607 140,6607 140,6607 140,6607 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-11 1 1 141,2115 141,2115 141,2115 141,2115 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-14 1 1 141,5859 141,5859 141,5859 141,5859 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-15 1 1 141,8594 141,8594 141,8594 141,8594 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-16 1 1 141,7261 141,7261 141,7261 141,7261 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-17 1 1 142,4838 142,4838 142,4838 142,4838 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-18 1 1 143,3022 143,3022 143,3022 143,3022 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-21 1 1 142,5494 142,5494 142,5494 142,5494 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-22 1 1 142,909 142,909 142,909 142,909 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-23 1 1 142,7428 142,7428 142,7428 142,7428 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-24 1 1 142,8073 142,8073 142,8073 142,8073 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-25 1 1 143,1441 143,1441 143,1441 143,1441 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-28 1 1 142,8506 142,8506 142,8506 142,8506 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-29 1 1 143,0596 143,0596 143,0596 143,0596 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-11-30 1 1 142,5867 142,5867 142,5867 142,5867 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-01 1 1 143,7327 143,7327 143,7327 143,7327 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-02 1 1 144,2781 144,2781 144,2781 144,2781 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-05 1 1 143,9391 143,9391 143,9391 143,9391 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-06 1 1 143,5266 143,5266 143,5266 143,5266 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-07 1 1 144,4632 144,4632 144,4632 144,4632 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-08 1 1 143,9012 143,9012 143,9012 143,9012 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-12 1 1 144,2704 144,2704 144,2704 144,2704 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-13 1 1 144,4906 144,4906 144,4906 144,4906 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-14 1 1 143,9858 143,9858 143,9858 143,9858 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-15 1 1 144,174 144,174 144,174 144,174 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-16 1 1 144,7398 144,7398 144,7398 144,7398 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-19 1 1 144,4697 144,4697 144,4697 144,4697 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-20 1 1 144,6111 144,6111 144,6111 144,6111 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-21 1 1 146,0393 146,0393 146,0393 146,0393 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-22 1 1 146,2984 146,2984 146,2984 146,2984 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-23 1 1 147,0217 147,0217 147,0217 147,0217 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-27 1 1 147,3286 147,3286 147,3286 147,3286 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-28 1 1 146,1024 146,1024 146,1024 146,1024 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-29 1 1 146,8789 146,8789 146,8789 146,8789 707281 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2030 SEK 2005-12-30 1 1 146,0718 146,0718 146,0718 146,0718 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-03 1 1 58,486 58,486 58,486 58,486 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-04 1 1 58,8166 58,8166 58,8166 58,8166 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-05 1 1 58,4203 58,4203 58,4203 58,4203 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-07 1 1 58,7093 58,7093 58,7093 58,7093 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-10 1 1 59,0809 59,0809 59,0809 59,0809 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-11 1 1 58,6812 58,6812 58,6812 58,6812 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-12 1 1 58,1985 58,1985 58,1985 58,1985 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-13 1 1 58,2901 58,2901 58,2901 58,2901 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-14 1 1 58,5913 58,5913 58,5913 58,5913 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-17 1 1 58,9996 58,9996 58,9996 58,9996 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-18 1 1 58,7385 58,7385 58,7385 58,7385 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-19 1 1 59,1893 59,1893 59,1893 59,1893 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-20 1 1 58,7825 58,7825 58,7825 58,7825 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-21 1 1 58,6361 58,6361 58,6361 58,6361 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-24 1 1 58,2298 58,2298 58,2298 58,2298 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-25 1 1 58,7164 58,7164 58,7164 58,7164 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-26 1 1 58,8471 58,8471 58,8471 58,8471 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-27 1 1 58,9154 58,9154 58,9154 58,9154 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-28 1 1 58,9861 58,9861 58,9861 58,9861 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-01-31 1 1 59,267 59,267 59,267 59,267 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-01 1 1 59,4005 59,4005 59,4005 59,4005 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-02 1 1 59,6375 59,6375 59,6375 59,6375 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-03 1 1 59,6562 59,6562 59,6562 59,6562 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-04 1 1 59,982 59,982 59,982 59,982 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-07 1 1 60,8426 60,8426 60,8426 60,8426 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-08 1 1 61,0593 61,0593 61,0593 61,0593 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-09 1 1 61,0827 61,0827 61,0827 61,0827 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-10 1 1 60,5955 60,5955 60,5955 60,5955 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-11 1 1 60,7309 60,7309 60,7309 60,7309 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-14 1 1 60,9999 60,9999 60,9999 60,9999 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-15 1 1 61,0575 61,0575 61,0575 61,0575 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-16 1 1 60,7012 60,7012 60,7012 60,7012 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-17 1 1 60,8066 60,8066 60,8066 60,8066 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-18 1 1 60,5526 60,5526 60,5526 60,5526 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-21 1 1 60,8898 60,8898 60,8898 60,8898 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-22 1 1 60,152 60,152 60,152 60,152 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-23 1 1 59,8921 59,8921 59,8921 59,8921 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-24 1 1 59,9107 59,9107 59,9107 59,9107 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-25 1 1 60,4641 60,4641 60,4641 60,4641 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-02-28 1 1 60,6967 60,6967 60,6967 60,6967 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-01 1 1 60,8791 60,8791 60,8791 60,8791 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-02 1 1 61,1157 61,1157 61,1157 61,1157 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-03 1 1 61,3448 61,3448 61,3448 61,3448 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-04 1 1 61,323 61,323 61,323 61,323 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-07 1 1 61,4078 61,4078 61,4078 61,4078 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-08 1 1 61,0911 61,0911 61,0911 61,0911 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-09 1 1 60,7733 60,7733 60,7733 60,7733 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-10 1 1 60,4651 60,4651 60,4651 60,4651 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-11 1 1 59,4279 59,4279 59,4279 59,4279 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-14 1 1 59,5528 59,5528 59,5528 59,5528 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-15 1 1 59,7861 59,7861 59,7861 59,7861 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-16 1 1 59,0766 59,0766 59,0766 59,0766 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-17 1 1 58,9188 58,9188 58,9188 58,9188 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-18 1 1 59,3035 59,3035 59,3035 59,3035 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-21 1 1 59,4231 59,4231 59,4231 59,4231 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-22 1 1 59,3978 59,3978 59,3978 59,3978 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-23 1 1 59,2572 59,2572 59,2572 59,2572 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-24 1 1 59,5115 59,5115 59,5115 59,5115 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-29 1 1 59,6967 59,6967 59,6967 59,6967 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-30 1 1 59,2455 59,2455 59,2455 59,2455 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-03-31 1 1 59,7679 59,7679 59,7679 59,7679 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-01 1 1 60,0558 60,0558 60,0558 60,0558 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-04 1 1 59,9963 59,9963 59,9963 59,9963 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-05 1 1 60,4762 60,4762 60,4762 60,4762 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-06 1 1 60,5969 60,5969 60,5969 60,5969 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-07 1 1 60,5824 60,5824 60,5824 60,5824 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-08 1 1 61,0581 61,0581 61,0581 61,0581 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-11 1 1 60,707 60,707 60,707 60,707 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-12 1 1 60,5829 60,5829 60,5829 60,5829 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-13 1 1 60,9836 60,9836 60,9836 60,9836 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-14 1 1 61,1276 61,1276 61,1276 61,1276 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-15 1 1 60,1247 60,1247 60,1247 60,1247 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-18 1 1 59,0761 59,0761 59,0761 59,0761 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-19 1 1 59,4301 59,4301 59,4301 59,4301 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-20 1 1 59,2947 59,2947 59,2947 59,2947 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-21 1 1 59,2293 59,2293 59,2293 59,2293 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-22 1 1 59,6155 59,6155 59,6155 59,6155 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-25 1 1 59,7665 59,7665 59,7665 59,7665 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-26 1 1 59,5363 59,5363 59,5363 59,5363 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-27 1 1 58,7547 58,7547 58,7547 58,7547 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-28 1 1 58,8902 58,8902 58,8902 58,8902 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-04-29 1 1 59,0825 59,0825 59,0825 59,0825 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-02 1 1 59,7879 59,7879 59,7879 59,7879 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-03 1 1 59,7797 59,7797 59,7797 59,7797 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-04 1 1 59,6393 59,6393 59,6393 59,6393 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-06 1 1 60,5681 60,5681 60,5681 60,5681 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-09 1 1 60,5114 60,5114 60,5114 60,5114 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-10 1 1 60,3875 60,3875 60,3875 60,3875 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-11 1 1 60,4211 60,4211 60,4211 60,4211 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-12 1 1 60,971 60,971 60,971 60,971 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-13 1 1 60,8496 60,8496 60,8496 60,8496 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-16 1 1 60,8651 60,8651 60,8651 60,8651 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-17 1 1 61,0401 61,0401 61,0401 61,0401 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-18 1 1 61,6246 61,6246 61,6246 61,6246 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-19 1 1 61,9753 61,9753 61,9753 61,9753 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-20 1 1 62,0021 62,0021 62,0021 62,0021 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-23 1 1 62,0911 62,0911 62,0911 62,0911 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-24 1 1 62,1627 62,1627 62,1627 62,1627 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-25 1 1 62,045 62,045 62,045 62,045 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-26 1 1 62,5975 62,5975 62,5975 62,5975 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-27 1 1 62,7316 62,7316 62,7316 62,7316 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-30 1 1 63,003 63,003 63,003 63,003 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-05-31 1 1 63,2276 63,2276 63,2276 63,2276 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-01 1 1 63,5161 63,5161 63,5161 63,5161 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-02 1 1 63,6876 63,6876 63,6876 63,6876 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-03 1 1 63,621 63,621 63,621 63,621 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-07 1 1 63,9512 63,9512 63,9512 63,9512 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-08 1 1 64,1448 64,1448 64,1448 64,1448 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-09 1 1 64,0706 64,0706 64,0706 64,0706 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-10 1 1 64,7997 64,7997 64,7997 64,7997 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-13 1 1 65,0742 65,0742 65,0742 65,0742 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-14 1 1 65,4988 65,4988 65,4988 65,4988 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-15 1 1 65,3919 65,3919 65,3919 65,3919 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-16 1 1 65,4272 65,4272 65,4272 65,4272 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-17 1 1 65,4733 65,4733 65,4733 65,4733 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-20 1 1 65,366 65,366 65,366 65,366 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-21 1 1 65,7318 65,7318 65,7318 65,7318 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-22 1 1 66,1918 66,1918 66,1918 66,1918 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-23 1 1 66,9328 66,9328 66,9328 66,9328 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-27 1 1 65,61 65,61 65,61 65,61 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-28 1 1 66,2434 66,2434 66,2434 66,2434 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-29 1 1 66,9433 66,9433 66,9433 66,9433 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-06-30 1 1 67,0036 67,0036 67,0036 67,0036 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-01 1 1 67,1061 67,1061 67,1061 67,1061 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-04 1 1 67,7158 67,7158 67,7158 67,7158 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-05 1 1 67,3166 67,3166 67,3166 67,3166 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-06 1 1 67,4699 67,4699 67,4699 67,4699 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-07 1 1 66,6029 66,6029 66,6029 66,6029 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-08 1 1 67,3114 67,3114 67,3114 67,3114 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-11 1 1 68,1393 68,1393 68,1393 68,1393 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-12 1 1 67,6678 67,6678 67,6678 67,6678 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-13 1 1 67,7197 67,7197 67,7197 67,7197 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-14 1 1 68,1936 68,1936 68,1936 68,1936 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-15 1 1 68,1357 68,1357 68,1357 68,1357 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-18 1 1 68,0427 68,0427 68,0427 68,0427 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-19 1 1 68,5448 68,5448 68,5448 68,5448 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-20 1 1 68,2637 68,2637 68,2637 68,2637 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-21 1 1 68,4689 68,4689 68,4689 68,4689 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-22 1 1 68,4991 68,4991 68,4991 68,4991 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-25 1 1 68,5351 68,5351 68,5351 68,5351 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-26 1 1 69,0084 69,0084 69,0084 69,0084 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-27 1 1 69,0854 69,0854 69,0854 69,0854 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-28 1 1 69,1743 69,1743 69,1743 69,1743 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-07-29 1 1 69,3146 69,3146 69,3146 69,3146 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-01 1 1 68,8762 68,8762 68,8762 68,8762 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-02 1 1 69,0222 69,0222 69,0222 69,0222 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-03 1 1 68,9726 68,9726 68,9726 68,9726 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-04 1 1 68,3647 68,3647 68,3647 68,3647 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-05 1 1 68,0448 68,0448 68,0448 68,0448 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-08 1 1 67,9327 67,9327 67,9327 67,9327 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-09 1 1 68,1827 68,1827 68,1827 68,1827 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-10 1 1 68,8192 68,8192 68,8192 68,8192 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-11 1 1 68,6025 68,6025 68,6025 68,6025 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-12 1 1 68,3677 68,3677 68,3677 68,3677 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-15 1 1 68,4255 68,4255 68,4255 68,4255 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-16 1 1 68,7126 68,7126 68,7126 68,7126 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-17 1 1 68,4724 68,4724 68,4724 68,4724 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-18 1 1 68,678 68,678 68,678 68,678 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-19 1 1 69,1837 69,1837 69,1837 69,1837 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-22 1 1 69,3175 69,3175 69,3175 69,3175 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-23 1 1 68,9322 68,9322 68,9322 68,9322 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-24 1 1 68,0496 68,0496 68,0496 68,0496 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-25 1 1 67,649 67,649 67,649 67,649 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-26 1 1 67,1636 67,1636 67,1636 67,1636 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-29 1 1 67,1904 67,1904 67,1904 67,1904 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-30 1 1 67,8144 67,8144 67,8144 67,8144 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-08-31 1 1 67,6748 67,6748 67,6748 67,6748 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-01 1 1 67,9737 67,9737 67,9737 67,9737 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-02 1 1 67,4911 67,4911 67,4911 67,4911 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-05 1 1 67,6759 67,6759 67,6759 67,6759 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-06 1 1 68,3271 68,3271 68,3271 68,3271 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-07 1 1 68,6951 68,6951 68,6951 68,6951 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-08 1 1 68,8422 68,8422 68,8422 68,8422 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-09 1 1 69,1048 69,1048 69,1048 69,1048 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-12 1 1 69,7024 69,7024 69,7024 69,7024 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-13 1 1 69,642 69,642 69,642 69,642 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-14 1 1 69,6715 69,6715 69,6715 69,6715 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-15 1 1 69,9222 69,9222 69,9222 69,9222 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-16 1 1 70,2071 70,2071 70,2071 70,2071 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-19 1 1 70,6157 70,6157 70,6157 70,6157 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-20 1 1 70,643 70,643 70,643 70,643 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-21 1 1 69,8532 69,8532 69,8532 69,8532 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-22 1 1 69,8531 69,8531 69,8531 69,8531 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-23 1 1 70,1903 70,1903 70,1903 70,1903 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-26 1 1 71,1139 71,1139 71,1139 71,1139 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-27 1 1 71,2 71,2 71,2 71,2 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-28 1 1 71,5681 71,5681 71,5681 71,5681 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-29 1 1 71,3694 71,3694 71,3694 71,3694 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-09-30 1 1 71,5278 71,5278 71,5278 71,5278 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-03 1 1 72,2178 72,2178 72,2178 72,2178 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-04 1 1 72,2822 72,2822 72,2822 72,2822 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-05 1 1 71,5261 71,5261 71,5261 71,5261 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-06 1 1 69,9869 69,9869 69,9869 69,9869 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-07 1 1 69,9868 69,9868 69,9868 69,9868 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-10 1 1 70,3799 70,3799 70,3799 70,3799 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-11 1 1 70,6729 70,6729 70,6729 70,6729 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-12 1 1 70,3258 70,3258 70,3258 70,3258 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-13 1 1 69,7842 69,7842 69,7842 69,7842 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-14 1 1 69,9938 69,9938 69,9938 69,9938 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-17 1 1 70,0827 70,0827 70,0827 70,0827 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-18 1 1 70,1579 70,1579 70,1579 70,1579 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-19 1 1 68,9758 68,9758 68,9758 68,9758 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-20 1 1 69,7201 69,7201 69,7201 69,7201 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-21 1 1 69,0926 69,0926 69,0926 69,0926 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-24 1 1 69,9268 69,9268 69,9268 69,9268 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-25 1 1 69,8929 69,8929 69,8929 69,8929 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-26 1 1 70,029 70,029 70,029 70,029 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-27 1 1 69,5454 69,5454 69,5454 69,5454 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-28 1 1 69,3888 69,3888 69,3888 69,3888 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-10-31 1 1 71,088 71,088 71,088 71,088 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-01 1 1 71,736 71,736 71,736 71,736 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-02 1 1 72,0062 72,0062 72,0062 72,0062 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-03 1 1 72,9956 72,9956 72,9956 72,9956 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-04 1 1 73,2442 73,2442 73,2442 73,2442 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-07 1 1 73,7419 73,7419 73,7419 73,7419 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-08 1 1 73,1899 73,1899 73,1899 73,1899 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-09 1 1 73,6781 73,6781 73,6781 73,6781 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-10 1 1 73,9032 73,9032 73,9032 73,9032 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-11 1 1 74,1925 74,1925 74,1925 74,1925 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-14 1 1 74,3887 74,3887 74,3887 74,3887 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-15 1 1 74,5319 74,5319 74,5319 74,5319 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-16 1 1 74,4623 74,4623 74,4623 74,4623 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-17 1 1 74,8607 74,8607 74,8607 74,8607 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-18 1 1 75,2892 75,2892 75,2892 75,2892 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-21 1 1 74,8945 74,8945 74,8945 74,8945 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-22 1 1 75,083 75,083 75,083 75,083 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-23 1 1 74,9969 74,9969 74,9969 74,9969 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-24 1 1 75,031 75,031 75,031 75,031 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-25 1 1 75,2078 75,2078 75,2078 75,2078 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-28 1 1 75,0541 75,0541 75,0541 75,0541 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-29 1 1 75,1633 75,1633 75,1633 75,1633 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-11-30 1 1 74,9146 74,9146 74,9146 74,9146 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-01 1 1 75,5185 75,5185 75,5185 75,5185 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-02 1 1 75,8036 75,8036 75,8036 75,8036 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-05 1 1 75,6261 75,6261 75,6261 75,6261 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-06 1 1 75,4101 75,4101 75,4101 75,4101 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-07 1 1 75,9014 75,9014 75,9014 75,9014 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-08 1 1 75,6051 75,6051 75,6051 75,6051 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-12 1 1 75,799 75,799 75,799 75,799 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-13 1 1 75,914 75,914 75,914 75,914 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-14 1 1 75,6488 75,6488 75,6488 75,6488 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-15 1 1 75,7473 75,7473 75,7473 75,7473 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-16 1 1 76,0438 76,0438 76,0438 76,0438 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-19 1 1 75,9016 75,9016 75,9016 75,9016 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-20 1 1 75,9757 75,9757 75,9757 75,9757 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-21 1 1 76,7259 76,7259 76,7259 76,7259 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-22 1 1 76,8628 76,8628 76,8628 76,8628 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-23 1 1 77,2413 77,2413 77,2413 77,2413 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-27 1 1 77,4021 77,4021 77,4021 77,4021 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-28 1 1 76,7589 76,7589 76,7589 76,7589 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-29 1 1 77,166 77,166 77,166 77,166 671453 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2035 SEK 2005-12-30 1 1 76,7423 76,7423 76,7423 76,7423 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-03 1 1 58,0059 58,0059 58,0059 58,0059 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-04 1 1 58,3197 58,3197 58,3197 58,3197 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-05 1 1 57,9189 57,9189 57,9189 57,9189 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-07 1 1 58,1987 58,1987 58,1987 58,1987 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-10 1 1 58,5607 58,5607 58,5607 58,5607 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-11 1 1 58,1622 58,1622 58,1622 58,1622 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-12 1 1 57,6806 57,6806 57,6806 57,6806 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-13 1 1 57,7775 57,7775 57,7775 57,7775 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-14 1 1 58,0781 58,0781 58,0781 58,0781 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-17 1 1 58,4918 58,4918 58,4918 58,4918 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-18 1 1 58,2253 58,2253 58,2253 58,2253 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-19 1 1 58,6694 58,6694 58,6694 58,6694 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-20 1 1 58,2522 58,2522 58,2522 58,2522 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-21 1 1 58,1146 58,1146 58,1146 58,1146 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-24 1 1 57,7151 57,7151 57,7151 57,7151 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-25 1 1 58,1957 58,1957 58,1957 58,1957 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-26 1 1 58,3162 58,3162 58,3162 58,3162 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-27 1 1 58,3869 58,3869 58,3869 58,3869 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-28 1 1 58,4565 58,4565 58,4565 58,4565 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-01-31 1 1 58,7398 58,7398 58,7398 58,7398 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-01 1 1 58,8739 58,8739 58,8739 58,8739 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-02 1 1 59,1017 59,1017 59,1017 59,1017 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-03 1 1 59,126 59,126 59,126 59,126 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-04 1 1 59,4459 59,4459 59,4459 59,4459 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-07 1 1 60,3028 60,3028 60,3028 60,3028 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-08 1 1 60,5127 60,5127 60,5127 60,5127 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-09 1 1 60,5357 60,5357 60,5357 60,5357 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-10 1 1 60,0478 60,0478 60,0478 60,0478 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-11 1 1 60,1885 60,1885 60,1885 60,1885 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-14 1 1 60,4564 60,4564 60,4564 60,4564 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-15 1 1 60,5194 60,5194 60,5194 60,5194 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-16 1 1 60,1671 60,1671 60,1671 60,1671 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-17 1 1 60,2669 60,2669 60,2669 60,2669 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-18 1 1 60,0179 60,0179 60,0179 60,0179 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-21 1 1 60,3494 60,3494 60,3494 60,3494 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-22 1 1 59,6204 59,6204 59,6204 59,6204 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-23 1 1 59,3694 59,3694 59,3694 59,3694 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-24 1 1 59,3832 59,3832 59,3832 59,3832 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-25 1 1 59,9432 59,9432 59,9432 59,9432 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-02-28 1 1 60,1741 60,1741 60,1741 60,1741 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-01 1 1 60,3493 60,3493 60,3493 60,3493 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-02 1 1 60,569 60,569 60,569 60,569 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-03 1 1 60,8043 60,8043 60,8043 60,8043 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-04 1 1 60,7737 60,7737 60,7737 60,7737 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-07 1 1 60,8699 60,8699 60,8699 60,8699 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-08 1 1 60,5488 60,5488 60,5488 60,5488 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-09 1 1 60,2312 60,2312 60,2312 60,2312 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-10 1 1 59,9267 59,9267 59,9267 59,9267 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-11 1 1 58,9641 58,9641 58,9641 58,9641 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-14 1 1 59,0869 59,0869 59,0869 59,0869 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-15 1 1 59,3187 59,3187 59,3187 59,3187 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-16 1 1 58,5994 58,5994 58,5994 58,5994 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-17 1 1 58,4514 58,4514 58,4514 58,4514 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-18 1 1 58,8446 58,8446 58,8446 58,8446 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-21 1 1 58,9667 58,9667 58,9667 58,9667 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-22 1 1 58,9391 58,9391 58,9391 58,9391 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-23 1 1 58,7954 58,7954 58,7954 58,7954 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-24 1 1 59,0453 59,0453 59,0453 59,0453 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-29 1 1 59,1662 59,1662 59,1662 59,1662 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-30 1 1 58,7005 58,7005 58,7005 58,7005 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-03-31 1 1 59,2334 59,2334 59,2334 59,2334 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-01 1 1 59,5216 59,5216 59,5216 59,5216 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-04 1 1 59,4759 59,4759 59,4759 59,4759 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-05 1 1 59,9568 59,9568 59,9568 59,9568 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-06 1 1 60,0839 60,0839 60,0839 60,0839 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-07 1 1 60,0711 60,0711 60,0711 60,0711 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-08 1 1 60,5409 60,5409 60,5409 60,5409 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-11 1 1 60,1888 60,1888 60,1888 60,1888 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-12 1 1 60,0639 60,0639 60,0639 60,0639 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-13 1 1 60,4605 60,4605 60,4605 60,4605 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-14 1 1 60,5936 60,5936 60,5936 60,5936 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-15 1 1 59,6005 59,6005 59,6005 59,6005 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-18 1 1 58,5706 58,5706 58,5706 58,5706 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-19 1 1 58,9144 58,9144 58,9144 58,9144 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-20 1 1 58,7845 58,7845 58,7845 58,7845 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-21 1 1 58,7213 58,7213 58,7213 58,7213 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-22 1 1 59,0984 59,0984 59,0984 59,0984 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-25 1 1 59,2499 59,2499 59,2499 59,2499 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-26 1 1 59,0343 59,0343 59,0343 59,0343 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-27 1 1 58,2531 58,2531 58,2531 58,2531 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-28 1 1 58,376 58,376 58,376 58,376 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-04-29 1 1 58,5653 58,5653 58,5653 58,5653 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-02 1 1 59,2816 59,2816 59,2816 59,2816 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-03 1 1 59,2696 59,2696 59,2696 59,2696 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-04 1 1 59,1328 59,1328 59,1328 59,1328 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-06 1 1 60,0641 60,0641 60,0641 60,0641 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-09 1 1 60,0038 60,0038 60,0038 60,0038 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-10 1 1 59,8779 59,8779 59,8779 59,8779 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-11 1 1 59,9015 59,9015 59,9015 59,9015 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-12 1 1 60,4506 60,4506 60,4506 60,4506 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-13 1 1 60,3233 60,3233 60,3233 60,3233 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-16 1 1 60,3397 60,3397 60,3397 60,3397 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-17 1 1 60,5155 60,5155 60,5155 60,5155 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-18 1 1 61,0929 61,0929 61,0929 61,0929 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-19 1 1 61,4485 61,4485 61,4485 61,4485 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-20 1 1 61,4834 61,4834 61,4834 61,4834 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-23 1 1 61,5595 61,5595 61,5595 61,5595 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-24 1 1 61,627 61,627 61,627 61,627 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-25 1 1 61,5097 61,5097 61,5097 61,5097 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-26 1 1 62,0589 62,0589 62,0589 62,0589 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-27 1 1 62,1917 62,1917 62,1917 62,1917 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-30 1 1 62,4606 62,4606 62,4606 62,4606 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-05-31 1 1 62,6777 62,6777 62,6777 62,6777 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-01 1 1 62,9605 62,9605 62,9605 62,9605 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-02 1 1 63,131 63,131 63,131 63,131 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-03 1 1 63,0724 63,0724 63,0724 63,0724 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-07 1 1 63,3909 63,3909 63,3909 63,3909 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-08 1 1 63,578 63,578 63,578 63,578 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-09 1 1 63,5045 63,5045 63,5045 63,5045 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-10 1 1 64,2363 64,2363 64,2363 64,2363 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-13 1 1 64,5773 64,5773 64,5773 64,5773 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-14 1 1 64,9951 64,9951 64,9951 64,9951 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-15 1 1 64,8904 64,8904 64,8904 64,8904 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-16 1 1 64,9254 64,9254 64,9254 64,9254 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-17 1 1 64,9747 64,9747 64,9747 64,9747 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-20 1 1 64,8679 64,8679 64,8679 64,8679 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-21 1 1 65,2219 65,2219 65,2219 65,2219 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-22 1 1 65,6837 65,6837 65,6837 65,6837 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-23 1 1 66,4172 66,4172 66,4172 66,4172 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-27 1 1 65,0928 65,0928 65,0928 65,0928 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-28 1 1 65,7164 65,7164 65,7164 65,7164 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-29 1 1 66,4088 66,4088 66,4088 66,4088 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-06-30 1 1 66,4771 66,4771 66,4771 66,4771 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-01 1 1 66,5781 66,5781 66,5781 66,5781 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-04 1 1 67,1714 67,1714 67,1714 67,1714 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-05 1 1 66,7797 66,7797 66,7797 66,7797 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-06 1 1 66,9306 66,9306 66,9306 66,9306 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-07 1 1 66,0769 66,0769 66,0769 66,0769 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-08 1 1 66,78 66,78 66,78 66,78 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-11 1 1 67,6055 67,6055 67,6055 67,6055 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-12 1 1 67,1376 67,1376 67,1376 67,1376 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-13 1 1 67,1926 67,1926 67,1926 67,1926 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-14 1 1 67,6585 67,6585 67,6585 67,6585 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-15 1 1 67,5972 67,5972 67,5972 67,5972 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-18 1 1 67,5041 67,5041 67,5041 67,5041 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-19 1 1 67,9984 67,9984 67,9984 67,9984 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-20 1 1 67,7223 67,7223 67,7223 67,7223 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-21 1 1 67,9309 67,9309 67,9309 67,9309 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-22 1 1 67,9566 67,9566 67,9566 67,9566 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-25 1 1 67,9966 67,9966 67,9966 67,9966 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-26 1 1 68,4573 68,4573 68,4573 68,4573 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-27 1 1 68,5353 68,5353 68,5353 68,5353 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-28 1 1 68,6311 68,6311 68,6311 68,6311 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-07-29 1 1 68,7698 68,7698 68,7698 68,7698 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-01 1 1 68,3285 68,3285 68,3285 68,3285 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-02 1 1 68,4765 68,4765 68,4765 68,4765 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-03 1 1 68,427 68,427 68,427 68,427 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-04 1 1 67,8222 67,8222 67,8222 67,8222 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-05 1 1 67,502 67,502 67,502 67,502 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-08 1 1 67,3915 67,3915 67,3915 67,3915 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-09 1 1 67,6306 67,6306 67,6306 67,6306 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-10 1 1 68,2614 68,2614 68,2614 68,2614 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-11 1 1 68,0433 68,0433 68,0433 68,0433 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-12 1 1 67,8137 67,8137 67,8137 67,8137 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-15 1 1 67,8733 67,8733 67,8733 67,8733 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-16 1 1 68,1493 68,1493 68,1493 68,1493 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-17 1 1 67,9094 67,9094 67,9094 67,9094 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-18 1 1 68,1087 68,1087 68,1087 68,1087 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-19 1 1 68,6104 68,6104 68,6104 68,6104 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-22 1 1 68,7445 68,7445 68,7445 68,7445 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-23 1 1 68,366 68,366 68,366 68,366 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-24 1 1 67,4979 67,4979 67,4979 67,4979 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-25 1 1 67,1049 67,1049 67,1049 67,1049 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-26 1 1 66,631 66,631 66,631 66,631 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-29 1 1 66,6521 66,6521 66,6521 66,6521 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-30 1 1 67,2676 67,2676 67,2676 67,2676 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-08-31 1 1 67,1334 67,1334 67,1334 67,1334 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-01 1 1 67,4266 67,4266 67,4266 67,4266 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-02 1 1 66,952 66,952 66,952 66,952 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-05 1 1 67,1316 67,1316 67,1316 67,1316 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-06 1 1 67,774 67,774 67,774 67,774 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-07 1 1 68,1352 68,1352 68,1352 68,1352 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-08 1 1 68,2795 68,2795 68,2795 68,2795 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-09 1 1 68,5392 68,5392 68,5392 68,5392 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-12 1 1 69,1264 69,1264 69,1264 69,1264 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-13 1 1 69,0643 69,0643 69,0643 69,0643 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-14 1 1 69,0937 69,0937 69,0937 69,0937 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-15 1 1 69,3392 69,3392 69,3392 69,3392 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-16 1 1 69,6163 69,6163 69,6163 69,6163 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-19 1 1 70,0178 70,0178 70,0178 70,0178 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-20 1 1 70,0412 70,0412 70,0412 70,0412 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-21 1 1 69,2621 69,2621 69,2621 69,2621 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-22 1 1 69,2596 69,2596 69,2596 69,2596 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-23 1 1 69,5942 69,5942 69,5942 69,5942 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-26 1 1 70,5049 70,5049 70,5049 70,5049 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-27 1 1 70,5907 70,5907 70,5907 70,5907 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-28 1 1 70,9541 70,9541 70,9541 70,9541 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-29 1 1 70,7571 70,7571 70,7571 70,7571 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-09-30 1 1 70,9133 70,9133 70,9133 70,9133 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-03 1 1 71,5956 71,5956 71,5956 71,5956 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-04 1 1 71,6539 71,6539 71,6539 71,6539 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-05 1 1 70,9127 70,9127 70,9127 70,9127 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-06 1 1 69,3997 69,3997 69,3997 69,3997 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-07 1 1 69,4046 69,4046 69,4046 69,4046 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-10 1 1 69,7848 69,7848 69,7848 69,7848 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-11 1 1 70,0705 70,0705 70,0705 70,0705 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-12 1 1 69,7279 69,7279 69,7279 69,7279 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-13 1 1 69,1955 69,1955 69,1955 69,1955 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-14 1 1 69,4069 69,4069 69,4069 69,4069 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-17 1 1 69,4977 69,4977 69,4977 69,4977 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-18 1 1 69,5673 69,5673 69,5673 69,5673 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-19 1 1 68,409 68,409 68,409 68,409 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-20 1 1 69,1427 69,1427 69,1427 69,1427 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-21 1 1 68,5235 68,5235 68,5235 68,5235 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-24 1 1 69,344 69,344 69,344 69,344 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-25 1 1 69,3112 69,3112 69,3112 69,3112 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-26 1 1 69,4444 69,4444 69,4444 69,4444 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-27 1 1 68,9653 68,9653 68,9653 68,9653 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-28 1 1 68,8116 68,8116 68,8116 68,8116 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-10-31 1 1 70,4892 70,4892 70,4892 70,4892 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-01 1 1 71,1271 71,1271 71,1271 71,1271 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-02 1 1 71,3874 71,3874 71,3874 71,3874 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-03 1 1 72,3616 72,3616 72,3616 72,3616 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-04 1 1 72,6087 72,6087 72,6087 72,6087 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-07 1 1 73,1 73,1 73,1 73,1 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-08 1 1 72,5566 72,5566 72,5566 72,5566 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-09 1 1 73,0381 73,0381 73,0381 73,0381 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-10 1 1 73,2584 73,2584 73,2584 73,2584 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-11 1 1 73,5436 73,5436 73,5436 73,5436 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-14 1 1 73,7365 73,7365 73,7365 73,7365 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-15 1 1 73,8762 73,8762 73,8762 73,8762 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-16 1 1 73,8075 73,8075 73,8075 73,8075 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-17 1 1 74,2014 74,2014 74,2014 74,2014 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-18 1 1 74,6211 74,6211 74,6211 74,6211 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-21 1 1 74,2331 74,2331 74,2331 74,2331 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-22 1 1 74,4186 74,4186 74,4186 74,4186 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-23 1 1 74,3368 74,3368 74,3368 74,3368 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-24 1 1 74,3707 74,3707 74,3707 74,3707 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-25 1 1 74,5467 74,5467 74,5467 74,5467 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-28 1 1 74,3956 74,3956 74,3956 74,3956 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-29 1 1 74,5 74,5 74,5 74,5 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-11-30 1 1 74,251 74,251 74,251 74,251 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-01 1 1 74,8512 74,8512 74,8512 74,8512 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-02 1 1 75,1319 75,1319 75,1319 75,1319 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-05 1 1 74,9618 74,9618 74,9618 74,9618 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-06 1 1 74,7513 74,7513 74,7513 74,7513 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-07 1 1 75,234 75,234 75,234 75,234 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-08 1 1 74,9401 74,9401 74,9401 74,9401 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-12 1 1 75,1384 75,1384 75,1384 75,1384 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-13 1 1 75,249 75,249 75,249 75,249 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-14 1 1 74,9846 74,9846 74,9846 74,9846 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-15 1 1 75,0813 75,0813 75,0813 75,0813 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-16 1 1 75,3729 75,3729 75,3729 75,3729 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-19 1 1 75,2368 75,2368 75,2368 75,2368 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-20 1 1 75,3061 75,3061 75,3061 75,3061 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-21 1 1 76,0531 76,0531 76,0531 76,0531 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-22 1 1 76,1911 76,1911 76,1911 76,1911 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-23 1 1 76,5642 76,5642 76,5642 76,5642 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-27 1 1 76,7275 76,7275 76,7275 76,7275 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-28 1 1 76,0943 76,0943 76,0943 76,0943 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-29 1 1 76,4967 76,4967 76,4967 76,4967 635623 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2040 SEK 2005-12-30 1 1 76,0759 76,0759 76,0759 76,0759 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-03 1 1 68,0644 68,0644 68,0644 68,0644 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-04 1 1 68,418 68,418 68,418 68,418 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-05 1 1 67,9395 67,9395 67,9395 67,9395 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-07 1 1 68,261 68,261 68,261 68,261 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-10 1 1 68,681 68,681 68,681 68,681 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-11 1 1 68,2141 68,2141 68,2141 68,2141 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-12 1 1 67,6559 67,6559 67,6559 67,6559 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-13 1 1 67,7675 67,7675 67,7675 67,7675 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-14 1 1 68,1155 68,1155 68,1155 68,1155 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-17 1 1 68,5998 68,5998 68,5998 68,5998 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-18 1 1 68,2928 68,2928 68,2928 68,2928 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-19 1 1 68,8119 68,8119 68,8119 68,8119 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-20 1 1 68,32 68,32 68,32 68,32 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-21 1 1 68,152 68,152 68,152 68,152 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-24 1 1 67,6881 67,6881 67,6881 67,6881 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-25 1 1 68,2541 68,2541 68,2541 68,2541 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-26 1 1 68,3927 68,3927 68,3927 68,3927 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-27 1 1 68,4776 68,4776 68,4776 68,4776 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-28 1 1 68,5596 68,5596 68,5596 68,5596 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-01-31 1 1 68,891 68,891 68,891 68,891 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-01 1 1 69,0545 69,0545 69,0545 69,0545 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-02 1 1 69,3267 69,3267 69,3267 69,3267 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-03 1 1 69,3573 69,3573 69,3573 69,3573 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-04 1 1 69,7358 69,7358 69,7358 69,7358 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-07 1 1 70,7322 70,7322 70,7322 70,7322 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-08 1 1 70,9783 70,9783 70,9783 70,9783 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-09 1 1 71,004 71,004 71,004 71,004 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-10 1 1 70,4327 70,4327 70,4327 70,4327 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-11 1 1 70,6093 70,6093 70,6093 70,6093 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-14 1 1 70,9216 70,9216 70,9216 70,9216 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-15 1 1 70,9947 70,9947 70,9947 70,9947 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-16 1 1 70,5842 70,5842 70,5842 70,5842 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-17 1 1 70,7027 70,7027 70,7027 70,7027 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-18 1 1 70,4152 70,4152 70,4152 70,4152 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-21 1 1 70,8005 70,8005 70,8005 70,8005 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-22 1 1 69,9565 69,9565 69,9565 69,9565 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-23 1 1 69,6671 69,6671 69,6671 69,6671 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-24 1 1 69,6748 69,6748 69,6748 69,6748 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-25 1 1 70,3251 70,3251 70,3251 70,3251 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-02-28 1 1 70,5934 70,5934 70,5934 70,5934 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-01 1 1 70,7965 70,7965 70,7965 70,7965 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-02 1 1 71,0477 71,0477 71,0477 71,0477 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-03 1 1 71,3227 71,3227 71,3227 71,3227 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-04 1 1 71,2872 71,2872 71,2872 71,2872 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-07 1 1 71,398 71,398 71,398 71,398 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-08 1 1 71,0199 71,0199 71,0199 71,0199 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-09 1 1 70,6504 70,6504 70,6504 70,6504 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-10 1 1 70,2968 70,2968 70,2968 70,2968 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-11 1 1 69,5589 69,5589 69,5589 69,5589 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-14 1 1 69,6997 69,6997 69,6997 69,6997 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-15 1 1 69,9673 69,9673 69,9673 69,9673 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-16 1 1 69,1249 69,1249 69,1249 69,1249 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-17 1 1 68,9603 68,9603 68,9603 68,9603 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-18 1 1 69,4198 69,4198 69,4198 69,4198 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-21 1 1 69,5587 69,5587 69,5587 69,5587 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-22 1 1 69,5269 69,5269 69,5269 69,5269 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-23 1 1 69,3576 69,3576 69,3576 69,3576 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-24 1 1 69,6552 69,6552 69,6552 69,6552 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-29 1 1 69,7883 69,7883 69,7883 69,7883 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-30 1 1 69,2364 69,2364 69,2364 69,2364 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-03-31 1 1 69,8657 69,8657 69,8657 69,8657 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-01 1 1 70,2036 70,2036 70,2036 70,2036 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-04 1 1 70,157 70,157 70,157 70,157 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-05 1 1 70,7196 70,7196 70,7196 70,7196 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-06 1 1 70,8685 70,8685 70,8685 70,8685 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-07 1 1 70,854 70,854 70,854 70,854 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-08 1 1 71,4009 71,4009 71,4009 71,4009 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-11 1 1 70,9918 70,9918 70,9918 70,9918 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-12 1 1 70,8437 70,8437 70,8437 70,8437 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-13 1 1 71,3053 71,3053 71,3053 71,3053 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-14 1 1 71,4576 71,4576 71,4576 71,4576 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-15 1 1 70,3049 70,3049 70,3049 70,3049 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-18 1 1 69,1076 69,1076 69,1076 69,1076 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-19 1 1 69,5112 69,5112 69,5112 69,5112 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-20 1 1 69,3653 69,3653 69,3653 69,3653 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-21 1 1 69,2965 69,2965 69,2965 69,2965 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-22 1 1 69,7369 69,7369 69,7369 69,7369 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-25 1 1 69,912 69,912 69,912 69,912 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-26 1 1 69,662 69,662 69,662 69,662 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-27 1 1 68,7381 68,7381 68,7381 68,7381 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-28 1 1 68,8745 68,8745 68,8745 68,8745 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-04-29 1 1 69,0975 69,0975 69,0975 69,0975 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-02 1 1 69,9365 69,9365 69,9365 69,9365 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-03 1 1 69,9264 69,9264 69,9264 69,9264 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-04 1 1 69,7677 69,7677 69,7677 69,7677 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-06 1 1 70,8569 70,8569 70,8569 70,8569 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-09 1 1 70,7845 70,7845 70,7845 70,7845 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-10 1 1 70,6389 70,6389 70,6389 70,6389 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-11 1 1 70,6663 70,6663 70,6663 70,6663 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-12 1 1 71,3094 71,3094 71,3094 71,3094 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-13 1 1 71,1642 71,1642 71,1642 71,1642 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-16 1 1 71,184 71,184 71,184 71,184 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-17 1 1 71,389 71,389 71,389 71,389 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-18 1 1 72,0644 72,0644 72,0644 72,0644 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-19 1 1 72,4799 72,4799 72,4799 72,4799 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-20 1 1 72,5274 72,5274 72,5274 72,5274 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-23 1 1 72,6111 72,6111 72,6111 72,6111 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-24 1 1 72,6834 72,6834 72,6834 72,6834 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-25 1 1 72,5475 72,5475 72,5475 72,5475 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-26 1 1 73,197 73,197 73,197 73,197 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-27 1 1 73,3513 73,3513 73,3513 73,3513 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-30 1 1 73,6687 73,6687 73,6687 73,6687 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-05-31 1 1 73,9193 73,9193 73,9193 73,9193 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-01 1 1 74,249 74,249 74,249 74,249 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-02 1 1 74,4473 74,4473 74,4473 74,4473 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-03 1 1 74,3845 74,3845 74,3845 74,3845 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-07 1 1 74,7482 74,7482 74,7482 74,7482 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-08 1 1 74,9649 74,9649 74,9649 74,9649 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-09 1 1 74,8776 74,8776 74,8776 74,8776 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-10 1 1 75,7328 75,7328 75,7328 75,7328 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-13 1 1 76,1351 76,1351 76,1351 76,1351 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-14 1 1 76,6196 76,6196 76,6196 76,6196 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-15 1 1 76,4999 76,4999 76,4999 76,4999 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-16 1 1 76,5444 76,5444 76,5444 76,5444 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-17 1 1 76,5993 76,5993 76,5993 76,5993 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-20 1 1 76,4742 76,4742 76,4742 76,4742 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-21 1 1 76,8882 76,8882 76,8882 76,8882 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-22 1 1 77,4287 77,4287 77,4287 77,4287 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-23 1 1 78,28 78,28 78,28 78,28 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-27 1 1 76,7404 76,7404 76,7404 76,7404 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-28 1 1 77,4695 77,4695 77,4695 77,4695 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-29 1 1 78,2795 78,2795 78,2795 78,2795 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-06-30 1 1 78,3626 78,3626 78,3626 78,3626 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-01 1 1 78,4831 78,4831 78,4831 78,4831 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-04 1 1 79,1759 79,1759 79,1759 79,1759 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-05 1 1 78,7196 78,7196 78,7196 78,7196 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-06 1 1 78,894 78,894 78,894 78,894 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-07 1 1 77,8936 77,8936 77,8936 77,8936 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-08 1 1 78,7176 78,7176 78,7176 78,7176 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-11 1 1 79,682 79,682 79,682 79,682 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-12 1 1 79,1338 79,1338 79,1338 79,1338 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-13 1 1 79,2004 79,2004 79,2004 79,2004 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-14 1 1 79,7455 79,7455 79,7455 79,7455 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-15 1 1 79,6709 79,6709 79,6709 79,6709 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-18 1 1 79,5585 79,5585 79,5585 79,5585 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-19 1 1 80,1368 80,1368 80,1368 80,1368 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-20 1 1 79,8139 79,8139 79,8139 79,8139 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-21 1 1 80,0601 80,0601 80,0601 80,0601 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-22 1 1 80,0801 80,0801 80,0801 80,0801 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-25 1 1 80,1264 80,1264 80,1264 80,1264 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-26 1 1 80,6638 80,6638 80,6638 80,6638 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-27 1 1 80,7547 80,7547 80,7547 80,7547 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-28 1 1 80,8723 80,8723 80,8723 80,8723 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-07-29 1 1 81,034 81,034 81,034 81,034 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-01 1 1 80,5187 80,5187 80,5187 80,5187 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-02 1 1 80,6941 80,6941 80,6941 80,6941 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-03 1 1 80,6357 80,6357 80,6357 80,6357 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-04 1 1 79,9274 79,9274 79,9274 79,9274 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-05 1 1 79,5528 79,5528 79,5528 79,5528 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-08 1 1 79,4241 79,4241 79,4241 79,4241 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-09 1 1 79,7024 79,7024 79,7024 79,7024 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-10 1 1 80,4388 80,4388 80,4388 80,4388 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-11 1 1 80,1792 80,1792 80,1792 80,1792 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-12 1 1 79,916 79,916 79,916 79,916 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-15 1 1 79,9845 79,9845 79,9845 79,9845 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-16 1 1 80,3094 80,3094 80,3094 80,3094 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-17 1 1 80,0305 80,0305 80,0305 80,0305 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-18 1 1 80,2647 80,2647 80,2647 80,2647 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-19 1 1 80,8526 80,8526 80,8526 80,8526 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-22 1 1 81,0082 81,0082 81,0082 81,0082 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-23 1 1 80,5687 80,5687 80,5687 80,5687 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-24 1 1 79,5484 79,5484 79,5484 79,5484 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-25 1 1 79,0887 79,0887 79,0887 79,0887 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-26 1 1 78,5311 78,5311 78,5311 78,5311 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-29 1 1 78,552 78,552 78,552 78,552 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-30 1 1 79,2745 79,2745 79,2745 79,2745 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-08-31 1 1 79,117 79,117 79,117 79,117 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-01 1 1 79,4556 79,4556 79,4556 79,4556 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-02 1 1 78,8979 78,8979 78,8979 78,8979 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-05 1 1 79,1118 79,1118 79,1118 79,1118 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-06 1 1 79,8656 79,8656 79,8656 79,8656 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-07 1 1 80,2884 80,2884 80,2884 80,2884 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-08 1 1 80,4542 80,4542 80,4542 80,4542 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-09 1 1 80,758 80,758 80,758 80,758 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-12 1 1 81,4486 81,4486 81,4486 81,4486 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-13 1 1 81,3764 81,3764 81,3764 81,3764 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-14 1 1 81,4091 81,4091 81,4091 81,4091 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-15 1 1 81,6981 81,6981 81,6981 81,6981 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-16 1 1 82,0228 82,0228 82,0228 82,0228 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-19 1 1 82,4939 82,4939 82,4939 82,4939 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-20 1 1 82,5235 82,5235 82,5235 82,5235 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-21 1 1 81,6109 81,6109 81,6109 81,6109 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-22 1 1 81,6034 81,6034 81,6034 81,6034 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-23 1 1 81,9944 81,9944 81,9944 81,9944 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-26 1 1 83,0618 83,0618 83,0618 83,0618 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-27 1 1 83,1569 83,1569 83,1569 83,1569 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-28 1 1 83,5748 83,5748 83,5748 83,5748 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-29 1 1 83,3393 83,3393 83,3393 83,3393 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-09-30 1 1 83,5208 83,5208 83,5208 83,5208 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-03 1 1 84,3185 84,3185 84,3185 84,3185 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-04 1 1 84,3852 84,3852 84,3852 84,3852 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-05 1 1 83,5193 83,5193 83,5193 83,5193 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-06 1 1 81,7494 81,7494 81,7494 81,7494 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-07 1 1 81,7583 81,7583 81,7583 81,7583 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-10 1 1 82,2027 82,2027 82,2027 82,2027 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-11 1 1 82,5378 82,5378 82,5378 82,5378 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-12 1 1 82,1349 82,1349 82,1349 82,1349 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-13 1 1 81,518 81,518 81,518 81,518 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-14 1 1 81,7666 81,7666 81,7666 81,7666 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-17 1 1 81,8724 81,8724 81,8724 81,8724 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-18 1 1 81,952 81,952 81,952 81,952 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-19 1 1 80,606 80,606 80,606 80,606 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-20 1 1 81,4619 81,4619 81,4619 81,4619 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-21 1 1 80,747 80,747 80,747 80,747 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-24 1 1 81,701 81,701 81,701 81,701 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-25 1 1 81,6605 81,6605 81,6605 81,6605 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-26 1 1 81,8139 81,8139 81,8139 81,8139 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-27 1 1 81,2553 81,2553 81,2553 81,2553 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-28 1 1 81,0736 81,0736 81,0736 81,0736 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-10-31 1 1 83,0227 83,0227 83,0227 83,0227 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-01 1 1 83,7672 83,7672 83,7672 83,7672 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-02 1 1 84,0743 84,0743 84,0743 84,0743 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-03 1 1 85,2096 85,2096 85,2096 85,2096 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-04 1 1 85,4971 85,4971 85,4971 85,4971 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-07 1 1 86,0708 86,0708 86,0708 86,0708 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-08 1 1 85,4331 85,4331 85,4331 85,4331 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-09 1 1 85,9932 85,9932 85,9932 85,9932 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-10 1 1 86,2521 86,2521 86,2521 86,2521 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-11 1 1 86,5885 86,5885 86,5885 86,5885 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-14 1 1 86,8109 86,8109 86,8109 86,8109 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-15 1 1 86,972 86,972 86,972 86,972 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-16 1 1 86,8898 86,8898 86,8898 86,8898 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-17 1 1 87,3524 87,3524 87,3524 87,3524 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-18 1 1 87,8441 87,8441 87,8441 87,8441 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-21 1 1 87,3872 87,3872 87,3872 87,3872 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-22 1 1 87,599 87,599 87,599 87,599 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-23 1 1 87,5069 87,5069 87,5069 87,5069 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-24 1 1 87,5475 87,5475 87,5475 87,5475 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-25 1 1 87,7544 87,7544 87,7544 87,7544 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-28 1 1 87,5774 87,5774 87,5774 87,5774 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-29 1 1 87,6983 87,6983 87,6983 87,6983 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-11-30 1 1 87,4071 87,4071 87,4071 87,4071 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-01 1 1 88,1101 88,1101 88,1101 88,1101 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-02 1 1 88,4378 88,4378 88,4378 88,4378 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-05 1 1 88,2405 88,2405 88,2405 88,2405 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-06 1 1 87,9953 87,9953 87,9953 87,9953 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-07 1 1 88,5628 88,5628 88,5628 88,5628 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-08 1 1 88,2165 88,2165 88,2165 88,2165 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-12 1 1 88,454 88,454 88,454 88,454 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-13 1 1 88,5808 88,5808 88,5808 88,5808 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-14 1 1 88,2684 88,2684 88,2684 88,2684 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-15 1 1 88,3814 88,3814 88,3814 88,3814 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-16 1 1 88,7246 88,7246 88,7246 88,7246 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-19 1 1 88,5652 88,5652 88,5652 88,5652 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-20 1 1 88,6495 88,6495 88,6495 88,6495 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-21 1 1 89,5281 89,5281 89,5281 89,5281 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-22 1 1 89,6896 89,6896 89,6896 89,6896 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-23 1 1 90,1259 90,1259 90,1259 90,1259 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-27 1 1 90,3083 90,3083 90,3083 90,3083 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-28 1 1 89,5683 89,5683 89,5683 89,5683 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-29 1 1 90,04 90,04 90,04 90,04 832360 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Pension 2045 SEK 2005-12-30 1 1 89,5463 89,5463 89,5463 89,5463 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-03 1 1 533,4257 533,4257 533,4257 533,4257 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-04 1 1 536,3244 536,3244 536,3244 536,3244 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-05 1 1 530,6004 530,6004 530,6004 530,6004 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-07 1 1 532,1299 532,1299 532,1299 532,1299 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-10 1 1 537,6654 537,6654 537,6654 537,6654 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-11 1 1 534,3208 534,3208 534,3208 534,3208 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-12 1 1 526,094 526,094 526,094 526,094 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-13 1 1 526,5098 526,5098 526,5098 526,5098 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-14 1 1 528,1005 528,1005 528,1005 528,1005 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-17 1 1 531,7129 531,7129 531,7129 531,7129 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-18 1 1 527,4941 527,4941 527,4941 527,4941 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-19 1 1 532,2352 532,2352 532,2352 532,2352 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-20 1 1 526,8157 526,8157 526,8157 526,8157 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-21 1 1 524,6249 524,6249 524,6249 524,6249 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-24 1 1 518,6669 518,6669 518,6669 518,6669 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-25 1 1 524,6688 524,6688 524,6688 524,6688 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-26 1 1 525,7604 525,7604 525,7604 525,7604 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-27 1 1 526,9844 526,9844 526,9844 526,9844 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-28 1 1 525,4065 525,4065 525,4065 525,4065 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-01-31 1 1 529,2506 529,2506 529,2506 529,2506 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-01 1 1 531,6056 531,6056 531,6056 531,6056 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-02 1 1 535,7773 535,7773 535,7773 535,7773 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-03 1 1 534,7644 534,7644 534,7644 534,7644 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-04 1 1 537,9275 537,9275 537,9275 537,9275 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-07 1 1 543,5865 543,5865 543,5865 543,5865 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-08 1 1 543,9756 543,9756 543,9756 543,9756 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-09 1 1 545,2871 545,2871 545,2871 545,2871 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-10 1 1 540,0692 540,0692 540,0692 540,0692 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-11 1 1 543,4771 543,4771 543,4771 543,4771 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-14 1 1 546,1892 546,1892 546,1892 546,1892 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-15 1 1 549,9729 549,9729 549,9729 549,9729 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-16 1 1 543,3167 543,3167 543,3167 543,3167 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-17 1 1 545,0846 545,0846 545,0846 545,0846 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-18 1 1 543,3577 543,3577 543,3577 543,3577 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-21 1 1 545,5005 545,5005 545,5005 545,5005 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-22 1 1 541,5407 541,5407 541,5407 541,5407 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-23 1 1 541,8326 541,8326 541,8326 541,8326 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-24 1 1 544,4389 544,4389 544,4389 544,4389 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-25 1 1 546,824 546,824 546,824 546,824 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-02-28 1 1 548,7317 548,7317 548,7317 548,7317 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-01 1 1 550,4982 550,4982 550,4982 550,4982 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-02 1 1 550,5226 550,5226 550,5226 550,5226 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-03 1 1 554,5345 554,5345 554,5345 554,5345 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-04 1 1 556,9139 556,9139 556,9139 556,9139 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-07 1 1 556,5927 556,5927 556,5927 556,5927 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-08 1 1 553,5345 553,5345 553,5345 553,5345 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-09 1 1 551,7901 551,7901 551,7901 551,7901 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-10 1 1 549,2043 549,2043 549,2043 549,2043 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-11 1 1 540,4199 540,4199 540,4199 540,4199 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-14 1 1 539,9101 539,9101 539,9101 539,9101 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-15 1 1 542,2289 542,2289 542,2289 542,2289 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-16 1 1 537,4731 537,4731 537,4731 537,4731 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-17 1 1 535,206 535,206 535,206 535,206 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-18 1 1 535,2029 535,2029 535,2029 535,2029 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-21 1 1 533,5837 533,5837 533,5837 533,5837 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-22 1 1 535,8313 535,8313 535,8313 535,8313 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-23 1 1 534,603 534,603 534,603 534,603 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-24 1 1 538,2899 538,2899 538,2899 538,2899 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-29 1 1 537,631 537,631 537,631 537,631 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-30 1 1 534,4366 534,4366 534,4366 534,4366 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-03-31 1 1 537,9172 537,9172 537,9172 537,9172 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-01 1 1 541,4486 541,4486 541,4486 541,4486 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-04 1 1 539,2938 539,2938 539,2938 539,2938 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-05 1 1 545,7337 545,7337 545,7337 545,7337 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-06 1 1 550,048 550,048 550,048 550,048 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-07 1 1 550,2206 550,2206 550,2206 550,2206 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-08 1 1 553,8678 553,8678 553,8678 553,8678 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-11 1 1 555,0692 555,0692 555,0692 555,0692 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-12 1 1 554,0168 554,0168 554,0168 554,0168 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-13 1 1 558,53 558,53 558,53 558,53 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-14 1 1 561,1547 561,1547 561,1547 561,1547 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-15 1 1 553,5928 553,5928 553,5928 553,5928 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-18 1 1 545,8896 545,8896 545,8896 545,8896 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-19 1 1 548,4918 548,4918 548,4918 548,4918 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-20 1 1 549,1075 549,1075 549,1075 549,1075 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-21 1 1 549,1711 549,1711 549,1711 549,1711 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-22 1 1 554,0339 554,0339 554,0339 554,0339 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-25 1 1 553,1127 553,1127 553,1127 553,1127 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-26 1 1 549,0346 549,0346 549,0346 549,0346 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-27 1 1 538,2311 538,2311 538,2311 538,2311 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-28 1 1 535,1255 535,1255 535,1255 535,1255 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-04-29 1 1 537,1012 537,1012 537,1012 537,1012 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-02 1 1 541,5627 541,5627 541,5627 541,5627 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-03 1 1 541,5654 541,5654 541,5654 541,5654 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-04 1 1 542,4742 542,4742 542,4742 542,4742 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-06 1 1 548,5125 548,5125 548,5125 548,5125 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-09 1 1 549,1573 549,1573 549,1573 549,1573 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-10 1 1 545,7967 545,7967 545,7967 545,7967 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-11 1 1 545,6563 545,6563 545,6563 545,6563 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-12 1 1 548,7115 548,7115 548,7115 548,7115 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-13 1 1 550,4677 550,4677 550,4677 550,4677 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-16 1 1 551,9311 551,9311 551,9311 551,9311 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-17 1 1 554,0902 554,0902 554,0902 554,0902 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-18 1 1 558,5151 558,5151 558,5151 558,5151 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-19 1 1 559,3454 559,3454 559,3454 559,3454 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-20 1 1 559,5342 559,5342 559,5342 559,5342 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-23 1 1 559,5304 559,5304 559,5304 559,5304 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-24 1 1 560,3552 560,3552 560,3552 560,3552 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-25 1 1 560,9273 560,9273 560,9273 560,9273 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-26 1 1 563,7531 563,7531 563,7531 563,7531 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-27 1 1 564,4093 564,4093 564,4093 564,4093 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-30 1 1 565,7753 565,7753 565,7753 565,7753 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-05-31 1 1 567,0883 567,0883 567,0883 567,0883 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-01 1 1 568,1238 568,1238 568,1238 568,1238 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-02 1 1 564,9762 564,9762 564,9762 564,9762 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-03 1 1 563,7116 563,7116 563,7116 563,7116 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-07 1 1 567,043 567,043 567,043 567,043 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-08 1 1 570,2928 570,2928 570,2928 570,2928 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-09 1 1 569,0039 569,0039 569,0039 569,0039 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-10 1 1 571,2299 571,2299 571,2299 571,2299 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-13 1 1 571,7514 571,7514 571,7514 571,7514 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-14 1 1 577,2986 577,2986 577,2986 577,2986 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-15 1 1 576,0364 576,0364 576,0364 576,0364 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-16 1 1 576,7453 576,7453 576,7453 576,7453 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-17 1 1 579,1944 579,1944 579,1944 579,1944 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-20 1 1 577,8895 577,8895 577,8895 577,8895 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-21 1 1 580,3824 580,3824 580,3824 580,3824 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-22 1 1 583,1409 583,1409 583,1409 583,1409 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-23 1 1 585,9964 585,9964 585,9964 585,9964 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-27 1 1 576,4652 576,4652 576,4652 576,4652 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-28 1 1 580,1348 580,1348 580,1348 580,1348 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-29 1 1 583,5696 583,5696 583,5696 583,5696 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-06-30 1 1 586,2972 586,2972 586,2972 586,2972 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-01 1 1 588,1794 588,1794 588,1794 588,1794 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-04 1 1 591,2804 591,2804 591,2804 591,2804 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-05 1 1 591,2267 591,2267 591,2267 591,2267 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-06 1 1 592,2785 592,2785 592,2785 592,2785 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-07 1 1 582,4637 582,4637 582,4637 582,4637 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-08 1 1 589,7753 589,7753 589,7753 589,7753 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-11 1 1 597,7674 597,7674 597,7674 597,7674 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-12 1 1 599,2554 599,2554 599,2554 599,2554 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-13 1 1 601,4174 601,4174 601,4174 601,4174 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-14 1 1 602,4464 602,4464 602,4464 602,4464 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-15 1 1 601,2599 601,2599 601,2599 601,2599 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-18 1 1 601,5969 601,5969 601,5969 601,5969 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-19 1 1 602,7525 602,7525 602,7525 602,7525 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-20 1 1 599,6157 599,6157 599,6157 599,6157 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-21 1 1 603,8407 603,8407 603,8407 603,8407 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-22 1 1 605,4888 605,4888 605,4888 605,4888 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-25 1 1 602,6624 602,6624 602,6624 602,6624 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-26 1 1 605,459 605,459 605,459 605,459 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-27 1 1 607,5437 607,5437 607,5437 607,5437 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-28 1 1 612,4515 612,4515 612,4515 612,4515 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-07-29 1 1 613,3033 613,3033 613,3033 613,3033 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-01 1 1 613,189 613,189 613,189 613,189 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-02 1 1 616,4532 616,4532 616,4532 616,4532 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-03 1 1 615,5297 615,5297 615,5297 615,5297 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-04 1 1 612,6722 612,6722 612,6722 612,6722 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-05 1 1 610,9934 610,9934 610,9934 610,9934 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-08 1 1 610,7162 610,7162 610,7162 610,7162 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-09 1 1 610,8396 610,8396 610,8396 610,8396 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-10 1 1 618,452 618,452 618,452 618,452 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-11 1 1 615,4366 615,4366 615,4366 615,4366 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-12 1 1 612,2341 612,2341 612,2341 612,2341 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-15 1 1 611,0326 611,0326 611,0326 611,0326 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-16 1 1 612,474 612,474 612,474 612,474 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-17 1 1 609,233 609,233 609,233 609,233 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-18 1 1 610,5257 610,5257 610,5257 610,5257 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-19 1 1 615,181 615,181 615,181 615,181 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-22 1 1 615,1586 615,1586 615,1586 615,1586 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-23 1 1 611,4832 611,4832 611,4832 611,4832 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-24 1 1 602,1791 602,1791 602,1791 602,1791 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-25 1 1 597,2057 597,2057 597,2057 597,2057 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-26 1 1 591,6237 591,6237 591,6237 591,6237 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-29 1 1 593,927 593,927 593,927 593,927 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-30 1 1 596,6204 596,6204 596,6204 596,6204 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-08-31 1 1 598,1904 598,1904 598,1904 598,1904 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-01 1 1 603,4424 603,4424 603,4424 603,4424 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-02 1 1 602,8232 602,8232 602,8232 602,8232 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-05 1 1 606,1181 606,1181 606,1181 606,1181 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-06 1 1 611,2756 611,2756 611,2756 611,2756 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-07 1 1 612,3328 612,3328 612,3328 612,3328 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-08 1 1 610,3194 610,3194 610,3194 610,3194 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-09 1 1 613,3246 613,3246 613,3246 613,3246 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-12 1 1 615,6325 615,6325 615,6325 615,6325 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-13 1 1 614,9609 614,9609 614,9609 614,9609 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-14 1 1 618,0752 618,0752 618,0752 618,0752 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-15 1 1 615,2778 615,2778 615,2778 615,2778 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-16 1 1 617,2412 617,2412 617,2412 617,2412 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-19 1 1 618,6221 618,6221 618,6221 618,6221 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-20 1 1 617,0248 617,0248 617,0248 617,0248 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-21 1 1 612,5242 612,5242 612,5242 612,5242 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-22 1 1 613,0642 613,0642 613,0642 613,0642 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-23 1 1 614,4452 614,4452 614,4452 614,4452 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-26 1 1 621,2711 621,2711 621,2711 621,2711 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-27 1 1 623,8831 623,8831 623,8831 623,8831 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-28 1 1 626,8174 626,8174 626,8174 626,8174 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-29 1 1 627,3689 627,3689 627,3689 627,3689 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-09-30 1 1 632,107 632,107 632,107 632,107 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-03 1 1 635,1958 635,1958 635,1958 635,1958 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-04 1 1 636,1217 636,1217 636,1217 636,1217 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-05 1 1 631,5059 631,5059 631,5059 631,5059 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-06 1 1 625,3365 625,3365 625,3365 625,3365 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-07 1 1 624,9024 624,9024 624,9024 624,9024 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-10 1 1 626,9422 626,9422 626,9422 626,9422 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-11 1 1 627,4531 627,4531 627,4531 627,4531 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-12 1 1 623,0828 623,0828 623,0828 623,0828 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-13 1 1 615,026 615,026 615,026 615,026 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-14 1 1 615,567 615,567 615,567 615,567 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-17 1 1 615,4225 615,4225 615,4225 615,4225 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-18 1 1 611,9482 611,9482 611,9482 611,9482 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-19 1 1 604,1063 604,1063 604,1063 604,1063 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-20 1 1 605,6261 605,6261 605,6261 605,6261 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-21 1 1 600,7446 600,7446 600,7446 600,7446 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-24 1 1 608,3924 608,3924 608,3924 608,3924 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-25 1 1 611,4507 611,4507 611,4507 611,4507 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-26 1 1 614,6448 614,6448 614,6448 614,6448 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-27 1 1 608,8035 608,8035 608,8035 608,8035 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-28 1 1 605,18 605,18 605,18 605,18 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-10-31 1 1 619,4072 619,4072 619,4072 619,4072 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-01 1 1 622,6168 622,6168 622,6168 622,6168 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-02 1 1 624,617 624,617 624,617 624,617 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-03 1 1 630,2641 630,2641 630,2641 630,2641 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-04 1 1 631,2361 631,2361 631,2361 631,2361 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-07 1 1 635,0198 635,0198 635,0198 635,0198 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-08 1 1 633,2276 633,2276 633,2276 633,2276 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-09 1 1 634,41 634,41 634,41 634,41 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-10 1 1 634,5201 634,5201 634,5201 634,5201 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-11 1 1 641,6614 641,6614 641,6614 641,6614 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-14 1 1 644,2059 644,2059 644,2059 644,2059 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-15 1 1 641,8996 641,8996 641,8996 641,8996 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-16 1 1 641,5596 641,5596 641,5596 641,5596 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-17 1 1 644,6933 644,6933 644,6933 644,6933 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-18 1 1 647,4489 647,4489 647,4489 647,4489 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-21 1 1 646,8899 646,8899 646,8899 646,8899 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-22 1 1 647,1525 647,1525 647,1525 647,1525 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-23 1 1 648,7165 648,7165 648,7165 648,7165 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-24 1 1 646,4329 646,4329 646,4329 646,4329 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-25 1 1 648,8011 648,8011 648,8011 648,8011 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-28 1 1 649,9983 649,9983 649,9983 649,9983 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-29 1 1 649,5173 649,5173 649,5173 649,5173 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-11-30 1 1 643,7687 643,7687 643,7687 643,7687 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-01 1 1 651,0335 651,0335 651,0335 651,0335 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-02 1 1 657,9987 657,9987 657,9987 657,9987 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-05 1 1 657,3862 657,3862 657,3862 657,3862 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-06 1 1 659,6824 659,6824 659,6824 659,6824 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-07 1 1 661,0015 661,0015 661,0015 661,0015 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-08 1 1 662,3701 662,3701 662,3701 662,3701 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-12 1 1 664,6109 664,6109 664,6109 664,6109 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-13 1 1 663,7362 663,7362 663,7362 663,7362 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-14 1 1 661,3563 661,3563 661,3563 661,3563 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-15 1 1 658,9568 658,9568 658,9568 658,9568 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-16 1 1 663,3125 663,3125 663,3125 663,3125 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-19 1 1 665,6236 665,6236 665,6236 665,6236 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-20 1 1 664,9273 664,9273 664,9273 664,9273 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-21 1 1 669,4712 669,4712 669,4712 669,4712 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-22 1 1 671,0831 671,0831 671,0831 671,0831 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-23 1 1 677,397 677,397 677,397 677,397 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-27 1 1 681,4254 681,4254 681,4254 681,4254 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-28 1 1 680,6227 680,6227 680,6227 680,6227 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-29 1 1 682,1669 682,1669 682,1669 682,1669 528133 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Sverigefond SEK 2005-12-30 1 1 679,317 679,317 679,317 679,317 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-03 1 1 27,4071 27,4071 27,4071 27,4071 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-04 1 1 27,1095 27,1095 27,1095 27,1095 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-05 1 1 26,6035 26,6035 26,6035 26,6035 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-07 1 1 26,1049 26,1049 26,1049 26,1049 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-10 1 1 26,0873 26,0873 26,0873 26,0873 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-11 1 1 25,9012 25,9012 25,9012 25,9012 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-12 1 1 25,4235 25,4235 25,4235 25,4235 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-13 1 1 25,729 25,729 25,729 25,729 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-14 1 1 25,9383 25,9383 25,9383 25,9383 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-17 1 1 26,3344 26,3344 26,3344 26,3344 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-18 1 1 26,4674 26,4674 26,4674 26,4674 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-19 1 1 26,5813 26,5813 26,5813 26,5813 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-20 1 1 25,5757 25,5757 25,5757 25,5757 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-21 1 1 25,6272 25,6272 25,6272 25,6272 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-24 1 1 25,2108 25,2108 25,2108 25,2108 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-25 1 1 25,1767 25,1767 25,1767 25,1767 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-26 1 1 25,16 25,16 25,16 25,16 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-27 1 1 25,288 25,288 25,288 25,288 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-28 1 1 25,4517 25,4517 25,4517 25,4517 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-01-31 1 1 25,5228 25,5228 25,5228 25,5228 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-01 1 1 25,5217 25,5217 25,5217 25,5217 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-02 1 1 25,5141 25,5141 25,5141 25,5141 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-03 1 1 25,0124 25,0124 25,0124 25,0124 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-04 1 1 24,7713 24,7713 24,7713 24,7713 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-07 1 1 25,191 25,191 25,191 25,191 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-08 1 1 25,0264 25,0264 25,0264 25,0264 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-09 1 1 25,2309 25,2309 25,2309 25,2309 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-10 1 1 24,547 24,547 24,547 24,547 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-11 1 1 24,4626 24,4626 24,4626 24,4626 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-14 1 1 24,7792 24,7792 24,7792 24,7792 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-15 1 1 24,8629 24,8629 24,8629 24,8629 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-16 1 1 24,7836 24,7836 24,7836 24,7836 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-17 1 1 24,8501 24,8501 24,8501 24,8501 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-18 1 1 24,4131 24,4131 24,4131 24,4131 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-21 1 1 24,4558 24,4558 24,4558 24,4558 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-22 1 1 23,9894 23,9894 23,9894 23,9894 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-23 1 1 23,752 23,752 23,752 23,752 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-24 1 1 23,3921 23,3921 23,3921 23,3921 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-25 1 1 23,9202 23,9202 23,9202 23,9202 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-02-28 1 1 23,924 23,924 23,924 23,924 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-01 1 1 23,9381 23,9381 23,9381 23,9381 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-02 1 1 24,1612 24,1612 24,1612 24,1612 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-03 1 1 24,2858 24,2858 24,2858 24,2858 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-04 1 1 24,0293 24,0293 24,0293 24,0293 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-07 1 1 24,2741 24,2741 24,2741 24,2741 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-08 1 1 24,3061 24,3061 24,3061 24,3061 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-09 1 1 23,9382 23,9382 23,9382 23,9382 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-10 1 1 23,7387 23,7387 23,7387 23,7387 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-11 1 1 23,5527 23,5527 23,5527 23,5527 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-14 1 1 23,4971 23,4971 23,4971 23,4971 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-15 1 1 23,7033 23,7033 23,7033 23,7033 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-16 1 1 23,2158 23,2158 23,2158 23,2158 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-17 1 1 23,1675 23,1675 23,1675 23,1675 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-18 1 1 23,232 23,232 23,232 23,232 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-21 1 1 23,3902 23,3902 23,3902 23,3902 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-22 1 1 23,5568 23,5568 23,5568 23,5568 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-23 1 1 23,5146 23,5146 23,5146 23,5146 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-24 1 1 23,6708 23,6708 23,6708 23,6708 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-29 1 1 23,7177 23,7177 23,7177 23,7177 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-30 1 1 23,4367 23,4367 23,4367 23,4367 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-03-31 1 1 24,0985 24,0985 24,0985 24,0985 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-01 1 1 24,1572 24,1572 24,1572 24,1572 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-04 1 1 24,3797 24,3797 24,3797 24,3797 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-05 1 1 24,7443 24,7443 24,7443 24,7443 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-06 1 1 24,4548 24,4548 24,4548 24,4548 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-07 1 1 24,0805 24,0805 24,0805 24,0805 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-08 1 1 24,3885 24,3885 24,3885 24,3885 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-11 1 1 24,0617 24,0617 24,0617 24,0617 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-12 1 1 23,8082 23,8082 23,8082 23,8082 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-13 1 1 24,1193 24,1193 24,1193 24,1193 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-14 1 1 24,0003 24,0003 24,0003 24,0003 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-15 1 1 23,2847 23,2847 23,2847 23,2847 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-18 1 1 22,7335 22,7335 22,7335 22,7335 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-19 1 1 22,9122 22,9122 22,9122 22,9122 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-20 1 1 23,1509 23,1509 23,1509 23,1509 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-21 1 1 23,208 23,208 23,208 23,208 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-22 1 1 23,4341 23,4341 23,4341 23,4341 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-25 1 1 23,4175 23,4175 23,4175 23,4175 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-26 1 1 23,4636 23,4636 23,4636 23,4636 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-27 1 1 22,9809 22,9809 22,9809 22,9809 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-28 1 1 23,1815 23,1815 23,1815 23,1815 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-04-29 1 1 23,2128 23,2128 23,2128 23,2128 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-02 1 1 23,5217 23,5217 23,5217 23,5217 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-03 1 1 23,3988 23,3988 23,3988 23,3988 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-04 1 1 23,7463 23,7463 23,7463 23,7463 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-06 1 1 24,6101 24,6101 24,6101 24,6101 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-09 1 1 24,8345 24,8345 24,8345 24,8345 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-10 1 1 24,6692 24,6692 24,6692 24,6692 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-11 1 1 24,7558 24,7558 24,7558 24,7558 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-12 1 1 24,9945 24,9945 24,9945 24,9945 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-13 1 1 25,1063 25,1063 25,1063 25,1063 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-16 1 1 25,261 25,261 25,261 25,261 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-17 1 1 25,3181 25,3181 25,3181 25,3181 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-18 1 1 25,7377 25,7377 25,7377 25,7377 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-19 1 1 26,3857 26,3857 26,3857 26,3857 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-20 1 1 26,3537 26,3537 26,3537 26,3537 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-23 1 1 26,4104 26,4104 26,4104 26,4104 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-24 1 1 26,5169 26,5169 26,5169 26,5169 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-25 1 1 26,438 26,438 26,438 26,438 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-26 1 1 26,7854 26,7854 26,7854 26,7854 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-27 1 1 26,9015 26,9015 26,9015 26,9015 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-30 1 1 27,0924 27,0924 27,0924 27,0924 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-05-31 1 1 27,1683 27,1683 27,1683 27,1683 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-01 1 1 27,702 27,702 27,702 27,702 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-02 1 1 28,0007 28,0007 28,0007 28,0007 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-03 1 1 28,0104 28,0104 28,0104 28,0104 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-07 1 1 28,1607 28,1607 28,1607 28,1607 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-08 1 1 27,8509 27,8509 27,8509 27,8509 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-09 1 1 27,693 27,693 27,693 27,693 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-10 1 1 28,2707 28,2707 28,2707 28,2707 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-13 1 1 28,3158 28,3158 28,3158 28,3158 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-14 1 1 28,5347 28,5347 28,5347 28,5347 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-15 1 1 28,3782 28,3782 28,3782 28,3782 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-16 1 1 28,4116 28,4116 28,4116 28,4116 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-17 1 1 28,3001 28,3001 28,3001 28,3001 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-20 1 1 27,8936 27,8936 27,8936 27,8936 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-21 1 1 28,2241 28,2241 28,2241 28,2241 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-22 1 1 28,6299 28,6299 28,6299 28,6299 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-23 1 1 29,1194 29,1194 29,1194 29,1194 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-27 1 1 28,0904 28,0904 28,0904 28,0904 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-28 1 1 28,5253 28,5253 28,5253 28,5253 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-29 1 1 28,8201 28,8201 28,8201 28,8201 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-06-30 1 1 28,5438 28,5438 28,5438 28,5438 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-01 1 1 28,5135 28,5135 28,5135 28,5135 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-04 1 1 28,7424 28,7424 28,7424 28,7424 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-05 1 1 28,5249 28,5249 28,5249 28,5249 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-06 1 1 28,8159 28,8159 28,8159 28,8159 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-07 1 1 28,6207 28,6207 28,6207 28,6207 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-08 1 1 29,0284 29,0284 29,0284 29,0284 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-11 1 1 29,6111 29,6111 29,6111 29,6111 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-12 1 1 29,3523 29,3523 29,3523 29,3523 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-13 1 1 29,4885 29,4885 29,4885 29,4885 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-14 1 1 29,7395 29,7395 29,7395 29,7395 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-15 1 1 29,7822 29,7822 29,7822 29,7822 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-18 1 1 29,6356 29,6356 29,6356 29,6356 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-19 1 1 30,3363 30,3363 30,3363 30,3363 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-20 1 1 29,8961 29,8961 29,8961 29,8961 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-21 1 1 30,4302 30,4302 30,4302 30,4302 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-22 1 1 30,3211 30,3211 30,3211 30,3211 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-25 1 1 30,369 30,369 30,369 30,369 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-26 1 1 30,69 30,69 30,69 30,69 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-27 1 1 30,7984 30,7984 30,7984 30,7984 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-28 1 1 31,0922 31,0922 31,0922 31,0922 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-07-29 1 1 31,1659 31,1659 31,1659 31,1659 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-01 1 1 30,7614 30,7614 30,7614 30,7614 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-02 1 1 30,9125 30,9125 30,9125 30,9125 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-03 1 1 30,754 30,754 30,754 30,754 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-04 1 1 30,4716 30,4716 30,4716 30,4716 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-05 1 1 30,1409 30,1409 30,1409 30,1409 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-08 1 1 29,8563 29,8563 29,8563 29,8563 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-09 1 1 30,0226 30,0226 30,0226 30,0226 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-10 1 1 30,0338 30,0338 30,0338 30,0338 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-11 1 1 29,4933 29,4933 29,4933 29,4933 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-12 1 1 29,3732 29,3732 29,3732 29,3732 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-15 1 1 29,6627 29,6627 29,6627 29,6627 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-16 1 1 29,884 29,884 29,884 29,884 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-17 1 1 29,9151 29,9151 29,9151 29,9151 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-18 1 1 30,0708 30,0708 30,0708 30,0708 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-19 1 1 30,189 30,189 30,189 30,189 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-22 1 1 30,0788 30,0788 30,0788 30,0788 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-23 1 1 29,8284 29,8284 29,8284 29,8284 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-24 1 1 29,4947 29,4947 29,4947 29,4947 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-25 1 1 29,3704 29,3704 29,3704 29,3704 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-26 1 1 29,2021 29,2021 29,2021 29,2021 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-29 1 1 29,178 29,178 29,178 29,178 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-30 1 1 29,644 29,644 29,644 29,644 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-08-31 1 1 29,4335 29,4335 29,4335 29,4335 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-01 1 1 29,23 29,23 29,23 29,23 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-02 1 1 28,8792 28,8792 28,8792 28,8792 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-05 1 1 28,7721 28,7721 28,7721 28,7721 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-06 1 1 29,1612 29,1612 29,1612 29,1612 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-07 1 1 29,63 29,63 29,63 29,63 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-08 1 1 29,8918 29,8918 29,8918 29,8918 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-09 1 1 29,8876 29,8876 29,8876 29,8876 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-12 1 1 30,5671 30,5671 30,5671 30,5671 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-13 1 1 30,6706 30,6706 30,6706 30,6706 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-14 1 1 30,6236 30,6236 30,6236 30,6236 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-15 1 1 30,5115 30,5115 30,5115 30,5115 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-16 1 1 30,3785 30,3785 30,3785 30,3785 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-19 1 1 30,5529 30,5529 30,5529 30,5529 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-20 1 1 30,4585 30,4585 30,4585 30,4585 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-21 1 1 29,9293 29,9293 29,9293 29,9293 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-22 1 1 29,9187 29,9187 29,9187 29,9187 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-23 1 1 30,3007 30,3007 30,3007 30,3007 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-26 1 1 30,8562 30,8562 30,8562 30,8562 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-27 1 1 31,0879 31,0879 31,0879 31,0879 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-28 1 1 31,0247 31,0247 31,0247 31,0247 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-29 1 1 30,6506 30,6506 30,6506 30,6506 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-09-30 1 1 31,3108 31,3108 31,3108 31,3108 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-03 1 1 32,0252 32,0252 32,0252 32,0252 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-04 1 1 31,9837 31,9837 31,9837 31,9837 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-05 1 1 31,2937 31,2937 31,2937 31,2937 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-06 1 1 30,6463 30,6463 30,6463 30,6463 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-07 1 1 30,668 30,668 30,668 30,668 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-10 1 1 30,865 30,865 30,865 30,865 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-11 1 1 31,0572 31,0572 31,0572 31,0572 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-12 1 1 30,5593 30,5593 30,5593 30,5593 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-13 1 1 30,1648 30,1648 30,1648 30,1648 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-14 1 1 30,2476 30,2476 30,2476 30,2476 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-17 1 1 30,8502 30,8502 30,8502 30,8502 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-18 1 1 31,3664 31,3664 31,3664 31,3664 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-19 1 1 31,1385 31,1385 31,1385 31,1385 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-20 1 1 31,9887 31,9887 31,9887 31,9887 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-21 1 1 31,9472 31,9472 31,9472 31,9472 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-24 1 1 32,4935 32,4935 32,4935 32,4935 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-25 1 1 32,3908 32,3908 32,3908 32,3908 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-26 1 1 32,0248 32,0248 32,0248 32,0248 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-27 1 1 31,5346 31,5346 31,5346 31,5346 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-28 1 1 31,6142 31,6142 31,6142 31,6142 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-10-31 1 1 32,209 32,209 32,209 32,209 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-01 1 1 32,8685 32,8685 32,8685 32,8685 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-02 1 1 32,4609 32,4609 32,4609 32,4609 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-03 1 1 33,2533 33,2533 33,2533 33,2533 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-04 1 1 33,5212 33,5212 33,5212 33,5212 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-07 1 1 33,7036 33,7036 33,7036 33,7036 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-08 1 1 33,5864 33,5864 33,5864 33,5864 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-09 1 1 33,8134 33,8134 33,8134 33,8134 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-10 1 1 34,0055 34,0055 34,0055 34,0055 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-11 1 1 34,4749 34,4749 34,4749 34,4749 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-14 1 1 34,4925 34,4925 34,4925 34,4925 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-15 1 1 34,8876 34,8876 34,8876 34,8876 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-16 1 1 34,6833 34,6833 34,6833 34,6833 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-17 1 1 34,943 34,943 34,943 34,943 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-18 1 1 35,4265 35,4265 35,4265 35,4265 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-21 1 1 35,1663 35,1663 35,1663 35,1663 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-22 1 1 35,4918 35,4918 35,4918 35,4918 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-23 1 1 35,6279 35,6279 35,6279 35,6279 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-24 1 1 35,558 35,558 35,558 35,558 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-25 1 1 35,5861 35,5861 35,5861 35,5861 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-28 1 1 35,2726 35,2726 35,2726 35,2726 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-29 1 1 35,3476 35,3476 35,3476 35,3476 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-11-30 1 1 34,7607 34,7607 34,7607 34,7607 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-01 1 1 35,4748 35,4748 35,4748 35,4748 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-02 1 1 35,501 35,501 35,501 35,501 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-05 1 1 35,3012 35,3012 35,3012 35,3012 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-06 1 1 35,2321 35,2321 35,2321 35,2321 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-07 1 1 35,111 35,111 35,111 35,111 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-08 1 1 35,0288 35,0288 35,0288 35,0288 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-12 1 1 34,8182 34,8182 34,8182 34,8182 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-13 1 1 34,782 34,782 34,782 34,782 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-14 1 1 34,5344 34,5344 34,5344 34,5344 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-15 1 1 34,6771 34,6771 34,6771 34,6771 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-16 1 1 35,0452 35,0452 35,0452 35,0452 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-19 1 1 35,0601 35,0601 35,0601 35,0601 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-20 1 1 34,5198 34,5198 34,5198 34,5198 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-21 1 1 35,0492 35,0492 35,0492 35,0492 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-22 1 1 35,1905 35,1905 35,1905 35,1905 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-23 1 1 35,5703 35,5703 35,5703 35,5703 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-27 1 1 35,4481 35,4481 35,4481 35,4481 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-28 1 1 34,7583 34,7583 34,7583 34,7583 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-29 1 1 35,0406 35,0406 35,0406 35,0406 126094 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Teknologifond SEK 2005-12-30 1 1 34,6049 34,6049 34,6049 34,6049 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-03 1 1 154,5256 154,5256 154,5256 154,5256 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-04 1 1 155,2787 155,2787 155,2787 155,2787 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-05 1 1 152,57 152,57 152,57 152,57 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-07 1 1 153,0614 153,0614 153,0614 153,0614 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-10 1 1 153,5451 153,5451 153,5451 153,5451 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-11 1 1 153,0588 153,0588 153,0588 153,0588 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-12 1 1 151,7912 151,7912 151,7912 151,7912 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-13 1 1 152,8454 152,8454 152,8454 152,8454 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-14 1 1 155,4359 155,4359 155,4359 155,4359 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-17 1 1 158,4803 158,4803 158,4803 158,4803 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-18 1 1 157,4332 157,4332 157,4332 157,4332 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-19 1 1 157,8604 157,8604 157,8604 157,8604 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-20 1 1 157,2704 157,2704 157,2704 157,2704 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-21 1 1 157,7761 157,7761 157,7761 157,7761 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-24 1 1 158,5234 158,5234 158,5234 158,5234 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-25 1 1 159,7237 159,7237 159,7237 159,7237 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-26 1 1 160,2293 160,2293 160,2293 160,2293 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-27 1 1 160,9632 160,9632 160,9632 160,9632 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-28 1 1 162,0768 162,0768 162,0768 162,0768 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-01-31 1 1 163,5365 163,5365 163,5365 163,5365 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-01 1 1 163,3328 163,3328 163,3328 163,3328 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-02 1 1 163,2794 163,2794 163,2794 163,2794 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-03 1 1 164,3678 164,3678 164,3678 164,3678 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-04 1 1 165,3106 165,3106 165,3106 165,3106 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-07 1 1 167,9501 167,9501 167,9501 167,9501 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-08 1 1 168,4293 168,4293 168,4293 168,4293 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-09 1 1 168,1142 168,1142 168,1142 168,1142 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-10 1 1 167,2931 167,2931 167,2931 167,2931 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-11 1 1 167,8506 167,8506 167,8506 167,8506 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-14 1 1 169,12 169,12 169,12 169,12 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-15 1 1 168,9217 168,9217 168,9217 168,9217 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-16 1 1 168,5985 168,5985 168,5985 168,5985 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-17 1 1 168,9919 168,9919 168,9919 168,9919 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-18 1 1 169,015 169,015 169,015 169,015 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-21 1 1 169,8212 169,8212 169,8212 169,8212 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-22 1 1 169,2744 169,2744 169,2744 169,2744 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-23 1 1 168,9633 168,9633 168,9633 168,9633 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-24 1 1 169,6849 169,6849 169,6849 169,6849 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-25 1 1 171,5425 171,5425 171,5425 171,5425 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-02-28 1 1 172,966 172,966 172,966 172,966 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-01 1 1 172,8163 172,8163 172,8163 172,8163 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-02 1 1 171,7668 171,7668 171,7668 171,7668 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-03 1 1 172,3521 172,3521 172,3521 172,3521 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-04 1 1 170,9052 170,9052 170,9052 170,9052 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-07 1 1 172,684 172,684 172,684 172,684 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-08 1 1 171,0298 171,0298 171,0298 171,0298 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-09 1 1 170,6576 170,6576 170,6576 170,6576 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-10 1 1 168,3702 168,3702 168,3702 168,3702 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-11 1 1 167,0002 167,0002 167,0002 167,0002 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-14 1 1 166,1673 166,1673 166,1673 166,1673 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-15 1 1 163,9458 163,9458 163,9458 163,9458 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-16 1 1 160,6789 160,6789 160,6789 160,6789 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-17 1 1 160,395 160,395 160,395 160,395 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-18 1 1 163,5049 163,5049 163,5049 163,5049 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-21 1 1 163,4209 163,4209 163,4209 163,4209 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-22 1 1 162,9933 162,9933 162,9933 162,9933 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-23 1 1 162,2485 162,2485 162,2485 162,2485 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-24 1 1 162,0983 162,0983 162,0983 162,0983 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-29 1 1 161,4226 161,4226 161,4226 161,4226 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-30 1 1 159,6226 159,6226 159,6226 159,6226 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-03-31 1 1 162,7531 162,7531 162,7531 162,7531 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-01 1 1 166,038 166,038 166,038 166,038 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-04 1 1 166,6354 166,6354 166,6354 166,6354 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-05 1 1 166,7211 166,7211 166,7211 166,7211 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-06 1 1 166,6729 166,6729 166,6729 166,6729 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-07 1 1 166,2011 166,2011 166,2011 166,2011 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-08 1 1 167,8811 167,8811 167,8811 167,8811 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-11 1 1 165,6267 165,6267 165,6267 165,6267 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-12 1 1 166,2988 166,2988 166,2988 166,2988 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-13 1 1 166,4813 166,4813 166,4813 166,4813 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-14 1 1 165,2461 165,2461 165,2461 165,2461 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-15 1 1 161,9295 161,9295 161,9295 161,9295 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-18 1 1 157,5335 157,5335 157,5335 157,5335 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-19 1 1 159,4935 159,4935 159,4935 159,4935 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-20 1 1 160,0306 160,0306 160,0306 160,0306 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-21 1 1 159,8493 159,8493 159,8493 159,8493 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-22 1 1 160,8322 160,8322 160,8322 160,8322 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-25 1 1 161,7309 161,7309 161,7309 161,7309 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-26 1 1 162,3409 162,3409 162,3409 162,3409 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-27 1 1 161,0629 161,0629 161,0629 161,0629 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-28 1 1 160,3913 160,3913 160,3913 160,3913 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-04-29 1 1 160,4275 160,4275 160,4275 160,4275 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-02 1 1 162,0312 162,0312 162,0312 162,0312 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-03 1 1 161,7981 161,7981 161,7981 161,7981 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-04 1 1 162,3549 162,3549 162,3549 162,3549 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-06 1 1 167,0746 167,0746 167,0746 167,0746 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-09 1 1 167,2253 167,2253 167,2253 167,2253 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-10 1 1 166,7041 166,7041 166,7041 166,7041 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-11 1 1 165,8352 165,8352 165,8352 165,8352 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-12 1 1 166,7208 166,7208 166,7208 166,7208 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-13 1 1 166,335 166,335 166,335 166,335 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-16 1 1 165,6433 165,6433 165,6433 165,6433 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-17 1 1 165,1431 165,1431 165,1431 165,1431 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-18 1 1 166,3043 166,3043 166,3043 166,3043 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-19 1 1 169,2163 169,2163 169,2163 169,2163 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-20 1 1 169,5346 169,5346 169,5346 169,5346 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-23 1 1 168,6808 168,6808 168,6808 168,6808 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-24 1 1 168,6712 168,6712 168,6712 168,6712 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-25 1 1 168,3099 168,3099 168,3099 168,3099 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-26 1 1 170,1999 170,1999 170,1999 170,1999 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-27 1 1 171,7031 171,7031 171,7031 171,7031 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-30 1 1 173,0555 173,0555 173,0555 173,0555 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-05-31 1 1 173,1808 173,1808 173,1808 173,1808 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-01 1 1 172,9782 172,9782 172,9782 172,9782 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-02 1 1 174,6624 174,6624 174,6624 174,6624 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-03 1 1 175,9881 175,9881 175,9881 175,9881 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-07 1 1 176,5287 176,5287 176,5287 176,5287 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-08 1 1 176,9708 176,9708 176,9708 176,9708 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-09 1 1 176,6341 176,6341 176,6341 176,6341 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-10 1 1 180,018 180,018 180,018 180,018 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-13 1 1 182,967 182,967 182,967 182,967 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-14 1 1 183,5477 183,5477 183,5477 183,5477 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-15 1 1 183,764 183,764 183,764 183,764 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-16 1 1 184,7355 184,7355 184,7355 184,7355 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-17 1 1 184,1735 184,1735 184,1735 184,1735 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-20 1 1 184,5673 184,5673 184,5673 184,5673 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-21 1 1 184,9463 184,9463 184,9463 184,9463 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-22 1 1 186,4304 186,4304 186,4304 186,4304 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-23 1 1 189,4327 189,4327 189,4327 189,4327 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-27 1 1 185,875 185,875 185,875 185,875 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-28 1 1 189,1455 189,1455 189,1455 189,1455 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-29 1 1 190,513 190,513 190,513 190,513 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-06-30 1 1 190,2413 190,2413 190,2413 190,2413 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-01 1 1 192,0189 192,0189 192,0189 192,0189 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-04 1 1 193,8632 193,8632 193,8632 193,8632 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-05 1 1 191,5164 191,5164 191,5164 191,5164 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-06 1 1 191,913 191,913 191,913 191,913 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-07 1 1 191,5693 191,5693 191,5693 191,5693 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-08 1 1 192,174 192,174 192,174 192,174 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-11 1 1 195,6021 195,6021 195,6021 195,6021 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-12 1 1 194,3319 194,3319 194,3319 194,3319 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-13 1 1 195,148 195,148 195,148 195,148 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-14 1 1 197,1053 197,1053 197,1053 197,1053 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-15 1 1 195,7526 195,7526 195,7526 195,7526 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-18 1 1 195,6371 195,6371 195,6371 195,6371 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-19 1 1 198,3871 198,3871 198,3871 198,3871 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-20 1 1 197,5845 197,5845 197,5845 197,5845 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-21 1 1 198,7665 198,7665 198,7665 198,7665 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-22 1 1 200,137 200,137 200,137 200,137 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-25 1 1 201,0786 201,0786 201,0786 201,0786 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-26 1 1 200,9357 200,9357 200,9357 200,9357 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-27 1 1 201,6127 201,6127 201,6127 201,6127 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-28 1 1 201,9649 201,9649 201,9649 201,9649 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-07-29 1 1 203,0568 203,0568 203,0568 203,0568 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-01 1 1 202,3197 202,3197 202,3197 202,3197 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-02 1 1 204,613 204,613 204,613 204,613 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-03 1 1 205,0524 205,0524 205,0524 205,0524 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-04 1 1 203,2552 203,2552 203,2552 203,2552 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-05 1 1 201,9856 201,9856 201,9856 201,9856 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-08 1 1 201,7083 201,7083 201,7083 201,7083 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-09 1 1 202,8622 202,8622 202,8622 202,8622 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-10 1 1 204,5161 204,5161 204,5161 204,5161 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-11 1 1 204,1507 204,1507 204,1507 204,1507 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-12 1 1 201,7839 201,7839 201,7839 201,7839 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-15 1 1 202,4991 202,4991 202,4991 202,4991 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-16 1 1 203,0486 203,0486 203,0486 203,0486 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-17 1 1 201,8806 201,8806 201,8806 201,8806 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-18 1 1 202,2343 202,2343 202,2343 202,2343 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-19 1 1 202,4325 202,4325 202,4325 202,4325 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-22 1 1 203,6842 203,6842 203,6842 203,6842 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-23 1 1 203,0525 203,0525 203,0525 203,0525 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-24 1 1 199,3504 199,3504 199,3504 199,3504 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-25 1 1 199,4085 199,4085 199,4085 199,4085 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-26 1 1 198,485 198,485 198,485 198,485 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-29 1 1 197,1979 197,1979 197,1979 197,1979 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-30 1 1 199,6262 199,6262 199,6262 199,6262 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-08-31 1 1 199,2043 199,2043 199,2043 199,2043 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-01 1 1 200,6749 200,6749 200,6749 200,6749 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-02 1 1 200,5705 200,5705 200,5705 200,5705 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-05 1 1 201,6091 201,6091 201,6091 201,6091 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-06 1 1 203,4648 203,4648 203,4648 203,4648 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-07 1 1 204,553 204,553 204,553 204,553 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-08 1 1 205,7542 205,7542 205,7542 205,7542 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-09 1 1 207,0769 207,0769 207,0769 207,0769 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-12 1 1 209,5814 209,5814 209,5814 209,5814 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-13 1 1 209,6561 209,6561 209,6561 209,6561 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-14 1 1 209,1847 209,1847 209,1847 209,1847 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-15 1 1 211,823 211,823 211,823 211,823 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-16 1 1 213,4254 213,4254 213,4254 213,4254 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-19 1 1 214,6209 214,6209 214,6209 214,6209 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-20 1 1 216,5825 216,5825 216,5825 216,5825 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-21 1 1 215,9518 215,9518 215,9518 215,9518 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-22 1 1 217,093 217,093 217,093 217,093 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-23 1 1 217,0837 217,0837 217,0837 217,0837 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-26 1 1 219,5322 219,5322 219,5322 219,5322 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-27 1 1 221,8852 221,8852 221,8852 221,8852 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-28 1 1 222,934 222,934 222,934 222,934 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-29 1 1 223,2955 223,2955 223,2955 223,2955 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-09-30 1 1 223,2311 223,2311 223,2311 223,2311 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-03 1 1 226,1212 226,1212 226,1212 226,1212 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-04 1 1 227,6425 227,6425 227,6425 227,6425 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-05 1 1 222,2768 222,2768 222,2768 222,2768 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-06 1 1 213,1781 213,1781 213,1781 213,1781 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-07 1 1 212,5897 212,5897 212,5897 212,5897 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-10 1 1 216,4195 216,4195 216,4195 216,4195 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-11 1 1 219,1268 219,1268 219,1268 219,1268 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-12 1 1 215,6262 215,6262 215,6262 215,6262 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-13 1 1 212,1557 212,1557 212,1557 212,1557 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-14 1 1 210,663 210,663 210,663 210,663 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-17 1 1 211,2397 211,2397 211,2397 211,2397 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-18 1 1 213,2726 213,2726 213,2726 213,2726 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-19 1 1 206,2689 206,2689 206,2689 206,2689 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-20 1 1 209,905 209,905 209,905 209,905 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-21 1 1 208,0063 208,0063 208,0063 208,0063 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-24 1 1 211,8681 211,8681 211,8681 211,8681 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-25 1 1 210,6201 210,6201 210,6201 210,6201 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-26 1 1 211,4436 211,4436 211,4436 211,4436 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-27 1 1 209,3816 209,3816 209,3816 209,3816 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-28 1 1 208,187 208,187 208,187 208,187 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-10-31 1 1 214,8605 214,8605 214,8605 214,8605 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-01 1 1 220,0509 220,0509 220,0509 220,0509 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-02 1 1 222,5219 222,5219 222,5219 222,5219 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-03 1 1 225,8266 225,8266 225,8266 225,8266 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-04 1 1 227,2409 227,2409 227,2409 227,2409 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-07 1 1 228,2751 228,2751 228,2751 228,2751 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-08 1 1 226,0272 226,0272 226,0272 226,0272 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-09 1 1 229,8152 229,8152 229,8152 229,8152 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-10 1 1 230,3938 230,3938 230,3938 230,3938 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-11 1 1 231,7115 231,7115 231,7115 231,7115 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-14 1 1 232,1395 232,1395 232,1395 232,1395 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-15 1 1 233,8595 233,8595 233,8595 233,8595 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-16 1 1 233,9042 233,9042 233,9042 233,9042 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-17 1 1 235,252 235,252 235,252 235,252 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-18 1 1 235,46 235,46 235,46 235,46 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-21 1 1 234,5405 234,5405 234,5405 234,5405 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-22 1 1 232,2335 232,2335 232,2335 232,2335 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-23 1 1 234,2825 234,2825 234,2825 234,2825 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-24 1 1 235,9987 235,9987 235,9987 235,9987 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-25 1 1 236,253 236,253 236,253 236,253 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-28 1 1 237,1443 237,1443 237,1443 237,1443 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-29 1 1 235,9739 235,9739 235,9739 235,9739 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-11-30 1 1 236,7266 236,7266 236,7266 236,7266 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-01 1 1 238,9601 238,9601 238,9601 238,9601 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-02 1 1 240,3265 240,3265 240,3265 240,3265 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-05 1 1 240,5642 240,5642 240,5642 240,5642 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-06 1 1 239,9154 239,9154 239,9154 239,9154 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-07 1 1 243,2734 243,2734 243,2734 243,2734 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-08 1 1 239,8346 239,8346 239,8346 239,8346 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-12 1 1 239,1704 239,1704 239,1704 239,1704 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-13 1 1 239,9678 239,9678 239,9678 239,9678 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-14 1 1 238,3056 238,3056 238,3056 238,3056 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-15 1 1 238,8141 238,8141 238,8141 238,8141 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-16 1 1 238,2955 238,2955 238,2955 238,2955 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-19 1 1 238,9581 238,9581 238,9581 238,9581 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-20 1 1 239,5902 239,5902 239,5902 239,5902 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-21 1 1 244,1237 244,1237 244,1237 244,1237 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-22 1 1 244,7939 244,7939 244,7939 244,7939 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-23 1 1 246,4977 246,4977 246,4977 246,4977 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-27 1 1 246,953 246,953 246,953 246,953 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-28 1 1 242,8716 242,8716 242,8716 242,8716 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-29 1 1 245,7549 245,7549 245,7549 245,7549 206250 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Tillväxtmarknadsfond SEK 2005-12-30 1 1 246,3247 246,3247 246,3247 246,3247 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-03 1 1 21,279 21,279 21,279 21,279 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-04 1 1 21,373 21,373 21,373 21,373 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-05 1 1 21,2365 21,2365 21,2365 21,2365 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-07 1 1 21,334 21,334 21,334 21,334 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-10 1 1 21,4464 21,4464 21,4464 21,4464 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-11 1 1 21,2912 21,2912 21,2912 21,2912 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-12 1 1 21,1359 21,1359 21,1359 21,1359 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-13 1 1 21,161 21,161 21,161 21,161 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-14 1 1 21,2615 21,2615 21,2615 21,2615 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-17 1 1 21,4227 21,4227 21,4227 21,4227 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-18 1 1 21,3058 21,3058 21,3058 21,3058 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-19 1 1 21,4772 21,4772 21,4772 21,4772 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-20 1 1 21,3122 21,3122 21,3122 21,3122 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-21 1 1 21,2641 21,2641 21,2641 21,2641 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-24 1 1 21,1163 21,1163 21,1163 21,1163 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-25 1 1 21,2968 21,2968 21,2968 21,2968 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-26 1 1 21,3148 21,3148 21,3148 21,3148 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-27 1 1 21,3366 21,3366 21,3366 21,3366 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-28 1 1 21,3657 21,3657 21,3657 21,3657 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-01-31 1 1 21,4508 21,4508 21,4508 21,4508 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-01 1 1 21,5008 21,5008 21,5008 21,5008 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-02 1 1 21,573 21,573 21,573 21,573 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-03 1 1 21,5743 21,5743 21,5743 21,5743 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-04 1 1 21,6899 21,6899 21,6899 21,6899 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-07 1 1 21,9989 21,9989 21,9989 21,9989 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-08 1 1 22,0613 22,0613 22,0613 22,0613 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-09 1 1 22,0582 22,0582 22,0582 22,0582 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-10 1 1 21,8823 21,8823 21,8823 21,8823 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-11 1 1 21,9413 21,9413 21,9413 21,9413 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-14 1 1 22,0287 22,0287 22,0287 22,0287 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-15 1 1 22,0572 22,0572 22,0572 22,0572 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-16 1 1 21,9223 21,9223 21,9223 21,9223 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-17 1 1 21,9565 21,9565 21,9565 21,9565 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-18 1 1 21,8585 21,8585 21,8585 21,8585 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-21 1 1 21,9709 21,9709 21,9709 21,9709 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-22 1 1 21,702 21,702 21,702 21,702 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-23 1 1 21,6029 21,6029 21,6029 21,6029 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-24 1 1 21,5994 21,5994 21,5994 21,5994 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-25 1 1 21,7962 21,7962 21,7962 21,7962 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-02-28 1 1 21,8835 21,8835 21,8835 21,8835 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-01 1 1 21,9537 21,9537 21,9537 21,9537 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-02 1 1 22,0364 22,0364 22,0364 22,0364 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-03 1 1 22,1343 22,1343 22,1343 22,1343 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-04 1 1 22,1195 22,1195 22,1195 22,1195 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-07 1 1 22,1492 22,1492 22,1492 22,1492 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-08 1 1 22,0178 22,0178 22,0178 22,0178 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-09 1 1 21,9016 21,9016 21,9016 21,9016 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-10 1 1 21,8042 21,8042 21,8042 21,8042 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-11 1 1 21,5414 21,5414 21,5414 21,5414 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-14 1 1 21,5825 21,5825 21,5825 21,5825 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-15 1 1 21,6985 21,6985 21,6985 21,6985 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-16 1 1 21,4356 21,4356 21,4356 21,4356 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-17 1 1 21,3902 21,3902 21,3902 21,3902 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-18 1 1 21,5256 21,5256 21,5256 21,5256 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-21 1 1 21,5751 21,5751 21,5751 21,5751 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-22 1 1 21,5799 21,5799 21,5799 21,5799 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-23 1 1 21,5359 21,5359 21,5359 21,5359 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-24 1 1 21,6358 21,6358 21,6358 21,6358 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-29 1 1 21,6931 21,6931 21,6931 21,6931 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-30 1 1 21,5203 21,5203 21,5203 21,5203 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-03-31 1 1 21,7332 21,7332 21,7332 21,7332 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-01 1 1 21,8197 21,8197 21,8197 21,8197 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-04 1 1 21,7804 21,7804 21,7804 21,7804 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-05 1 1 21,9592 21,9592 21,9592 21,9592 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-06 1 1 22,0132 22,0132 22,0132 22,0132 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-07 1 1 21,9991 21,9991 21,9991 21,9991 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-08 1 1 22,1694 22,1694 22,1694 22,1694 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-11 1 1 22,0286 22,0286 22,0286 22,0286 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-12 1 1 21,9772 21,9772 21,9772 21,9772 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-13 1 1 22,13 22,13 22,13 22,13 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-14 1 1 22,1694 22,1694 22,1694 22,1694 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-15 1 1 21,8158 21,8158 21,8158 21,8158 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-18 1 1 21,4545 21,4545 21,4545 21,4545 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-19 1 1 21,5708 21,5708 21,5708 21,5708 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-20 1 1 21,5027 21,5027 21,5027 21,5027 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-21 1 1 21,4799 21,4799 21,4799 21,4799 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-22 1 1 21,6211 21,6211 21,6211 21,6211 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-25 1 1 21,6795 21,6795 21,6795 21,6795 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-26 1 1 21,5934 21,5934 21,5934 21,5934 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-27 1 1 21,2953 21,2953 21,2953 21,2953 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-28 1 1 21,3635 21,3635 21,3635 21,3635 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-04-29 1 1 21,4422 21,4422 21,4422 21,4422 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-02 1 1 21,7097 21,7097 21,7097 21,7097 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-03 1 1 21,691 21,691 21,691 21,691 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-04 1 1 21,6317 21,6317 21,6317 21,6317 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-06 1 1 21,9619 21,9619 21,9619 21,9619 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-09 1 1 21,9273 21,9273 21,9273 21,9273 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-10 1 1 21,8916 21,8916 21,8916 21,8916 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-11 1 1 21,8956 21,8956 21,8956 21,8956 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-12 1 1 22,1074 22,1074 22,1074 22,1074 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-13 1 1 22,0583 22,0583 22,0583 22,0583 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-16 1 1 22,067 22,067 22,067 22,067 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-17 1 1 22,1355 22,1355 22,1355 22,1355 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-18 1 1 22,3511 22,3511 22,3511 22,3511 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-19 1 1 22,4708 22,4708 22,4708 22,4708 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-20 1 1 22,5045 22,5045 22,5045 22,5045 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-23 1 1 22,5118 22,5118 22,5118 22,5118 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-24 1 1 22,542 22,542 22,542 22,542 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-25 1 1 22,4986 22,4986 22,4986 22,4986 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-26 1 1 22,7065 22,7065 22,7065 22,7065 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-27 1 1 22,7503 22,7503 22,7503 22,7503 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-30 1 1 22,8477 22,8477 22,8477 22,8477 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-05-31 1 1 22,9184 22,9184 22,9184 22,9184 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-01 1 1 23,0233 23,0233 23,0233 23,0233 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-02 1 1 23,0702 23,0702 23,0702 23,0702 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-03 1 1 23,0371 23,0371 23,0371 23,0371 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-07 1 1 23,1435 23,1435 23,1435 23,1435 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-08 1 1 23,211 23,211 23,211 23,211 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-09 1 1 23,1887 23,1887 23,1887 23,1887 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-10 1 1 23,4575 23,4575 23,4575 23,4575 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-13 1 1 23,5727 23,5727 23,5727 23,5727 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-14 1 1 23,722 23,722 23,722 23,722 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-15 1 1 23,6779 23,6779 23,6779 23,6779 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-16 1 1 23,6688 23,6688 23,6688 23,6688 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-17 1 1 23,6796 23,6796 23,6796 23,6796 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-20 1 1 23,6358 23,6358 23,6358 23,6358 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-21 1 1 23,7708 23,7708 23,7708 23,7708 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-22 1 1 23,9274 23,9274 23,9274 23,9274 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-23 1 1 24,1923 24,1923 24,1923 24,1923 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-27 1 1 23,7049 23,7049 23,7049 23,7049 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-28 1 1 23,9267 23,9267 23,9267 23,9267 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-29 1 1 24,1948 24,1948 24,1948 24,1948 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-06-30 1 1 24,2309 24,2309 24,2309 24,2309 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-01 1 1 24,2492 24,2492 24,2492 24,2492 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-04 1 1 24,4444 24,4444 24,4444 24,4444 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-05 1 1 24,3013 24,3013 24,3013 24,3013 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-06 1 1 24,3676 24,3676 24,3676 24,3676 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-07 1 1 24,0573 24,0573 24,0573 24,0573 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-08 1 1 24,3135 24,3135 24,3135 24,3135 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-11 1 1 24,6068 24,6068 24,6068 24,6068 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-12 1 1 24,4144 24,4144 24,4144 24,4144 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-13 1 1 24,4333 24,4333 24,4333 24,4333 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-14 1 1 24,5864 24,5864 24,5864 24,5864 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-15 1 1 24,5663 24,5663 24,5663 24,5663 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-18 1 1 24,5369 24,5369 24,5369 24,5369 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-19 1 1 24,7145 24,7145 24,7145 24,7145 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-20 1 1 24,6147 24,6147 24,6147 24,6147 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-21 1 1 24,7121 24,7121 24,7121 24,7121 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-22 1 1 24,6891 24,6891 24,6891 24,6891 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-25 1 1 24,6949 24,6949 24,6949 24,6949 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-26 1 1 24,8809 24,8809 24,8809 24,8809 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-27 1 1 24,9069 24,9069 24,9069 24,9069 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-28 1 1 24,9266 24,9266 24,9266 24,9266 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-07-29 1 1 24,9654 24,9654 24,9654 24,9654 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-01 1 1 24,777 24,777 24,777 24,777 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-02 1 1 24,8088 24,8088 24,8088 24,8088 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-03 1 1 24,7547 24,7547 24,7547 24,7547 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-04 1 1 24,5413 24,5413 24,5413 24,5413 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-05 1 1 24,4098 24,4098 24,4098 24,4098 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-08 1 1 24,3609 24,3609 24,3609 24,3609 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-09 1 1 24,4203 24,4203 24,4203 24,4203 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-10 1 1 24,6657 24,6657 24,6657 24,6657 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-11 1 1 24,579 24,579 24,579 24,579 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-12 1 1 24,5128 24,5128 24,5128 24,5128 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-15 1 1 24,5529 24,5529 24,5529 24,5529 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-16 1 1 24,646 24,646 24,646 24,646 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-17 1 1 24,5593 24,5593 24,5593 24,5593 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-18 1 1 24,6616 24,6616 24,6616 24,6616 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-19 1 1 24,8597 24,8597 24,8597 24,8597 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-22 1 1 24,9029 24,9029 24,9029 24,9029 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-23 1 1 24,7547 24,7547 24,7547 24,7547 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-24 1 1 24,4403 24,4403 24,4403 24,4403 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-25 1 1 24,2942 24,2942 24,2942 24,2942 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-26 1 1 24,1082 24,1082 24,1082 24,1082 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-29 1 1 24,1048 24,1048 24,1048 24,1048 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-30 1 1 24,3195 24,3195 24,3195 24,3195 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-08-31 1 1 24,2751 24,2751 24,2751 24,2751 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-01 1 1 24,375 24,375 24,375 24,375 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-02 1 1 24,2053 24,2053 24,2053 24,2053 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-05 1 1 24,2666 24,2666 24,2666 24,2666 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-06 1 1 24,5028 24,5028 24,5028 24,5028 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-07 1 1 24,6334 24,6334 24,6334 24,6334 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-08 1 1 24,675 24,675 24,675 24,675 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-09 1 1 24,7829 24,7829 24,7829 24,7829 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-12 1 1 24,9706 24,9706 24,9706 24,9706 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-13 1 1 24,9214 24,9214 24,9214 24,9214 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-14 1 1 24,9357 24,9357 24,9357 24,9357 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-15 1 1 25,0241 25,0241 25,0241 25,0241 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-16 1 1 25,0928 25,0928 25,0928 25,0928 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-19 1 1 25,2119 25,2119 25,2119 25,2119 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-20 1 1 25,2021 25,2021 25,2021 25,2021 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-21 1 1 24,9003 24,9003 24,9003 24,9003 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-22 1 1 24,881 24,881 24,881 24,881 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-23 1 1 25,015 25,015 25,015 25,015 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-26 1 1 25,3338 25,3338 25,3338 25,3338 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-27 1 1 25,3348 25,3348 25,3348 25,3348 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-28 1 1 25,4877 25,4877 25,4877 25,4877 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-29 1 1 25,4041 25,4041 25,4041 25,4041 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-09-30 1 1 25,4335 25,4335 25,4335 25,4335 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-03 1 1 25,667 25,667 25,667 25,667 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-04 1 1 25,6529 25,6529 25,6529 25,6529 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-05 1 1 25,3988 25,3988 25,3988 25,3988 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-06 1 1 24,8837 24,8837 24,8837 24,8837 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-07 1 1 24,9335 24,9335 24,9335 24,9335 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-10 1 1 25,0285 25,0285 25,0285 25,0285 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-11 1 1 25,1383 25,1383 25,1383 25,1383 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-12 1 1 25,0289 25,0289 25,0289 25,0289 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-13 1 1 24,8899 24,8899 24,8899 24,8899 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-14 1 1 24,938 24,938 24,938 24,938 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-17 1 1 24,98 24,98 24,98 24,98 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-18 1 1 24,9784 24,9784 24,9784 24,9784 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-19 1 1 24,622 24,622 24,622 24,622 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-20 1 1 24,8627 24,8627 24,8627 24,8627 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-21 1 1 24,6355 24,6355 24,6355 24,6355 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-24 1 1 24,921 24,921 24,921 24,921 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-25 1 1 24,9074 24,9074 24,9074 24,9074 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-26 1 1 24,9666 24,9666 24,9666 24,9666 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-27 1 1 24,7993 24,7993 24,7993 24,7993 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-28 1 1 24,7567 24,7567 24,7567 24,7567 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-10-31 1 1 25,3854 25,3854 25,3854 25,3854 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-01 1 1 25,5891 25,5891 25,5891 25,5891 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-02 1 1 25,6454 25,6454 25,6454 25,6454 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-03 1 1 25,9887 25,9887 25,9887 25,9887 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-04 1 1 26,1124 26,1124 26,1124 26,1124 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-07 1 1 26,2904 26,2904 26,2904 26,2904 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-08 1 1 26,0897 26,0897 26,0897 26,0897 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-09 1 1 26,2568 26,2568 26,2568 26,2568 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-10 1 1 26,3048 26,3048 26,3048 26,3048 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-11 1 1 26,4331 26,4331 26,4331 26,4331 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-14 1 1 26,4818 26,4818 26,4818 26,4818 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-15 1 1 26,5172 26,5172 26,5172 26,5172 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-16 1 1 26,5044 26,5044 26,5044 26,5044 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-17 1 1 26,6394 26,6394 26,6394 26,6394 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-18 1 1 26,7669 26,7669 26,7669 26,7669 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-21 1 1 26,6276 26,6276 26,6276 26,6276 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-22 1 1 26,7138 26,7138 26,7138 26,7138 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-23 1 1 26,6571 26,6571 26,6571 26,6571 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-24 1 1 26,6509 26,6509 26,6509 26,6509 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-25 1 1 26,7181 26,7181 26,7181 26,7181 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-28 1 1 26,65 26,65 26,65 26,65 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-29 1 1 26,6873 26,6873 26,6873 26,6873 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-11-30 1 1 26,5758 26,5758 26,5758 26,5758 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-01 1 1 26,7927 26,7927 26,7927 26,7927 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-02 1 1 26,8798 26,8798 26,8798 26,8798 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-05 1 1 26,831 26,831 26,831 26,831 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-06 1 1 26,7403 26,7403 26,7403 26,7403 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-07 1 1 26,9013 26,9013 26,9013 26,9013 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-08 1 1 26,7621 26,7621 26,7621 26,7621 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-12 1 1 26,8705 26,8705 26,8705 26,8705 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-13 1 1 26,8789 26,8789 26,8789 26,8789 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-14 1 1 26,7685 26,7685 26,7685 26,7685 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-15 1 1 26,8158 26,8158 26,8158 26,8158 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-16 1 1 26,9052 26,9052 26,9052 26,9052 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-19 1 1 26,8363 26,8363 26,8363 26,8363 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-20 1 1 26,8443 26,8443 26,8443 26,8443 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-21 1 1 27,1453 27,1453 27,1453 27,1453 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-22 1 1 27,177 27,177 27,177 27,177 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-23 1 1 27,3117 27,3117 27,3117 27,3117 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-27 1 1 27,3879 27,3879 27,3879 27,3879 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-28 1 1 27,1452 27,1452 27,1452 27,1452 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-29 1 1 27,2837 27,2837 27,2837 27,2837 563965 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Totalfond SEK 2005-12-30 1 1 27,0953 27,0953 27,0953 27,0953 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-03 1 1 245,9328 245,9328 245,9328 245,9328 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-04 1 1 246,7697 246,7697 246,7697 246,7697 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-05 1 1 245,3416 245,3416 245,3416 245,3416 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-07 1 1 246,2223 246,2223 246,2223 246,2223 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-10 1 1 247,4358 247,4358 247,4358 247,4358 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-11 1 1 246,2482 246,2482 246,2482 246,2482 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-12 1 1 244,5912 244,5912 244,5912 244,5912 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-13 1 1 244,8347 244,8347 244,8347 244,8347 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-14 1 1 245,6338 245,6338 245,6338 245,6338 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-17 1 1 246,9675 246,9675 246,9675 246,9675 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-18 1 1 245,8518 245,8518 245,8518 245,8518 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-19 1 1 247,3348 247,3348 247,3348 247,3348 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-20 1 1 245,7816 245,7816 245,7816 245,7816 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-21 1 1 245,4024 245,4024 245,4024 245,4024 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-24 1 1 244,1736 244,1736 244,1736 244,1736 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-25 1 1 245,6754 245,6754 245,6754 245,6754 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-26 1 1 245,8514 245,8514 245,8514 245,8514 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-27 1 1 246,0512 246,0512 246,0512 246,0512 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-28 1 1 246,1716 246,1716 246,1716 246,1716 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-01-31 1 1 247,0129 247,0129 247,0129 247,0129 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-01 1 1 247,5951 247,5951 247,5951 247,5951 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-02 1 1 248,3227 248,3227 248,3227 248,3227 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-03 1 1 248,153 248,153 248,153 248,153 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-04 1 1 249,1834 249,1834 249,1834 249,1834 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-07 1 1 251,5076 251,5076 251,5076 251,5076 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-08 1 1 251,8525 251,8525 251,8525 251,8525 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-09 1 1 252,1219 252,1219 252,1219 252,1219 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-10 1 1 250,5918 250,5918 250,5918 250,5918 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-11 1 1 251,1763 251,1763 251,1763 251,1763 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-14 1 1 251,841 251,841 251,841 251,841 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-15 1 1 252,3007 252,3007 252,3007 252,3007 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-16 1 1 250,9664 250,9664 250,9664 250,9664 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-17 1 1 251,2567 251,2567 251,2567 251,2567 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-18 1 1 250,3303 250,3303 250,3303 250,3303 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-21 1 1 251,0031 251,0031 251,0031 251,0031 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-22 1 1 249,0748 249,0748 249,0748 249,0748 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-23 1 1 248,5983 248,5983 248,5983 248,5983 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-24 1 1 248,7198 248,7198 248,7198 248,7198 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-25 1 1 250,0475 250,0475 250,0475 250,0475 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-02-28 1 1 250,8353 250,8353 250,8353 250,8353 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-01 1 1 251,4017 251,4017 251,4017 251,4017 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-02 1 1 251,7568 251,7568 251,7568 251,7568 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-03 1 1 252,7352 252,7352 252,7352 252,7352 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-04 1 1 253,0279 253,0279 253,0279 253,0279 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-07 1 1 253,2351 253,2351 253,2351 253,2351 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-08 1 1 252,254 252,254 252,254 252,254 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-09 1 1 251,3682 251,3682 251,3682 251,3682 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-10 1 1 250,5705 250,5705 250,5705 250,5705 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-11 1 1 245,8283 245,8283 245,8283 245,8283 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-14 1 1 245,9966 245,9966 245,9966 245,9966 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-15 1 1 246,9343 246,9343 246,9343 246,9343 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-16 1 1 244,899 244,899 244,899 244,899 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-17 1 1 244,478 244,478 244,478 244,478 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-18 1 1 245,2415 245,2415 245,2415 245,2415 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-21 1 1 245,2696 245,2696 245,2696 245,2696 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-22 1 1 245,5383 245,5383 245,5383 245,5383 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-23 1 1 245,0861 245,0861 245,0861 245,0861 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-24 1 1 245,9718 245,9718 245,9718 245,9718 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-29 1 1 246,1454 246,1454 246,1454 246,1454 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-30 1 1 244,881 244,881 244,881 244,881 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-03-31 1 1 246,5262 246,5262 246,5262 246,5262 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-01 1 1 247,4441 247,4441 247,4441 247,4441 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-04 1 1 246,9411 246,9411 246,9411 246,9411 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-05 1 1 248,5422 248,5422 248,5422 248,5422 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-06 1 1 249,2589 249,2589 249,2589 249,2589 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-07 1 1 249,3001 249,3001 249,3001 249,3001 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-08 1 1 250,5752 250,5752 250,5752 250,5752 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-11 1 1 249,9204 249,9204 249,9204 249,9204 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-12 1 1 249,4916 249,4916 249,4916 249,4916 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-13 1 1 250,8464 250,8464 250,8464 250,8464 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-14 1 1 251,3439 251,3439 251,3439 251,3439 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-15 1 1 248,6926 248,6926 248,6926 248,6926 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-18 1 1 246,0271 246,0271 246,0271 246,0271 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-19 1 1 246,9305 246,9305 246,9305 246,9305 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-20 1 1 246,5878 246,5878 246,5878 246,5878 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-21 1 1 246,5619 246,5619 246,5619 246,5619 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-22 1 1 247,9569 247,9569 247,9569 247,9569 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-25 1 1 248,2456 248,2456 248,2456 248,2456 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-26 1 1 247,4762 247,4762 247,4762 247,4762 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-27 1 1 245,0316 245,0316 245,0316 245,0316 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-28 1 1 245,1825 245,1825 245,1825 245,1825 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-04-29 1 1 245,8268 245,8268 245,8268 245,8268 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-02 1 1 247,6576 247,6576 247,6576 247,6576 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-03 1 1 247,563 247,563 247,563 247,563 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-04 1 1 247,1607 247,1607 247,1607 247,1607 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-06 1 1 249,3492 249,3492 249,3492 249,3492 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-09 1 1 249,2878 249,2878 249,2878 249,2878 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-10 1 1 249,0371 249,0371 249,0371 249,0371 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-11 1 1 249,1356 249,1356 249,1356 249,1356 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-12 1 1 250,5218 250,5218 250,5218 250,5218 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-13 1 1 250,5356 250,5356 250,5356 250,5356 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-16 1 1 250,7403 250,7403 250,7403 250,7403 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-17 1 1 251,3329 251,3329 251,3329 251,3329 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-18 1 1 253,0624 253,0624 253,0624 253,0624 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-19 1 1 253,7225 253,7225 253,7225 253,7225 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-20 1 1 253,7875 253,7875 253,7875 253,7875 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-23 1 1 253,9123 253,9123 253,9123 253,9123 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-24 1 1 254,1832 254,1832 254,1832 254,1832 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-25 1 1 254,0621 254,0621 254,0621 254,0621 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-26 1 1 255,2836 255,2836 255,2836 255,2836 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-27 1 1 255,6098 255,6098 255,6098 255,6098 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-30 1 1 256,1949 256,1949 256,1949 256,1949 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-05-31 1 1 256,9437 256,9437 256,9437 256,9437 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-01 1 1 257,7116 257,7116 257,7116 257,7116 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-02 1 1 257,7734 257,7734 257,7734 257,7734 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-03 1 1 257,6894 257,6894 257,6894 257,6894 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-07 1 1 258,563 258,563 258,563 258,563 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-08 1 1 259,4287 259,4287 259,4287 259,4287 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-09 1 1 259,1959 259,1959 259,1959 259,1959 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-10 1 1 260,8307 260,8307 260,8307 260,8307 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-13 1 1 261,4722 261,4722 261,4722 261,4722 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-14 1 1 262,673 262,673 262,673 262,673 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-15 1 1 262,151 262,151 262,151 262,151 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-16 1 1 262,0461 262,0461 262,0461 262,0461 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-17 1 1 262,4586 262,4586 262,4586 262,4586 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-20 1 1 262,1353 262,1353 262,1353 262,1353 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-21 1 1 263,5401 263,5401 263,5401 263,5401 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-22 1 1 264,9377 264,9377 264,9377 264,9377 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-23 1 1 266,6712 266,6712 266,6712 266,6712 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-27 1 1 263,2609 263,2609 263,2609 263,2609 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-28 1 1 264,615 264,615 264,615 264,615 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-29 1 1 266,4961 266,4961 266,4961 266,4961 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-06-30 1 1 266,9038 266,9038 266,9038 266,9038 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-01 1 1 267,1963 267,1963 267,1963 267,1963 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-04 1 1 268,464 268,464 268,464 268,464 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-05 1 1 267,4677 267,4677 267,4677 267,4677 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-06 1 1 267,9575 267,9575 267,9575 267,9575 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-07 1 1 265,5519 265,5519 265,5519 265,5519 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-08 1 1 267,661 267,661 267,661 267,661 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-11 1 1 269,8537 269,8537 269,8537 269,8537 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-12 1 1 268,8622 268,8622 268,8622 268,8622 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-13 1 1 269,11 269,11 269,11 269,11 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-14 1 1 269,9287 269,9287 269,9287 269,9287 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-15 1 1 269,6744 269,6744 269,6744 269,6744 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-18 1 1 269,5849 269,5849 269,5849 269,5849 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-19 1 1 270,6398 270,6398 270,6398 270,6398 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-20 1 1 269,7675 269,7675 269,7675 269,7675 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-21 1 1 270,8114 270,8114 270,8114 270,8114 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-22 1 1 270,9566 270,9566 270,9566 270,9566 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-25 1 1 270,8468 270,8468 270,8468 270,8468 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-26 1 1 271,9723 271,9723 271,9723 271,9723 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-27 1 1 272,3432 272,3432 272,3432 272,3432 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-28 1 1 272,8161 272,8161 272,8161 272,8161 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-07-29 1 1 272,8456 272,8456 272,8456 272,8456 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-01 1 1 271,5302 271,5302 271,5302 271,5302 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-02 1 1 271,8438 271,8438 271,8438 271,8438 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-03 1 1 271,408 271,408 271,408 271,408 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-04 1 1 270,0664 270,0664 270,0664 270,0664 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-05 1 1 268,9405 268,9405 268,9405 268,9405 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-08 1 1 268,5801 268,5801 268,5801 268,5801 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-09 1 1 268,9547 268,9547 268,9547 268,9547 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-10 1 1 271,2754 271,2754 271,2754 271,2754 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-11 1 1 270,6668 270,6668 270,6668 270,6668 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-12 1 1 270,1541 270,1541 270,1541 270,1541 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-15 1 1 270,3929 270,3929 270,3929 270,3929 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-16 1 1 271,0794 271,0794 271,0794 271,0794 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-17 1 1 270,1952 270,1952 270,1952 270,1952 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-18 1 1 270,8241 270,8241 270,8241 270,8241 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-19 1 1 272,2157 272,2157 272,2157 272,2157 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-22 1 1 272,5107 272,5107 272,5107 272,5107 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-23 1 1 271,4651 271,4651 271,4651 271,4651 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-24 1 1 268,8313 268,8313 268,8313 268,8313 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-25 1 1 267,6281 267,6281 267,6281 267,6281 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-26 1 1 266,2642 266,2642 266,2642 266,2642 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-29 1 1 266,3905 266,3905 266,3905 266,3905 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-30 1 1 267,8147 267,8147 267,8147 267,8147 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-08-31 1 1 267,8512 267,8512 267,8512 267,8512 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-01 1 1 268,9257 268,9257 268,9257 268,9257 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-02 1 1 267,7786 267,7786 267,7786 267,7786 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-05 1 1 268,4361 268,4361 268,4361 268,4361 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-06 1 1 270,1488 270,1488 270,1488 270,1488 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-07 1 1 270,9235 270,9235 270,9235 270,9235 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-08 1 1 271,1261 271,1261 271,1261 271,1261 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-09 1 1 272,1468 272,1468 272,1468 272,1468 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-12 1 1 273,2332 273,2332 273,2332 273,2332 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-13 1 1 272,9073 272,9073 272,9073 272,9073 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-14 1 1 273,1865 273,1865 273,1865 273,1865 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-15 1 1 273,4 273,4 273,4 273,4 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-16 1 1 273,8988 273,8988 273,8988 273,8988 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-19 1 1 274,6851 274,6851 274,6851 274,6851 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-20 1 1 274,6457 274,6457 274,6457 274,6457 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-21 1 1 272,668 272,668 272,668 272,668 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-22 1 1 272,5705 272,5705 272,5705 272,5705 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-23 1 1 273,2932 273,2932 273,2932 273,2932 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-26 1 1 275,6125 275,6125 275,6125 275,6125 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-27 1 1 275,8504 275,8504 275,8504 275,8504 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-28 1 1 276,9884 276,9884 276,9884 276,9884 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-29 1 1 276,5142 276,5142 276,5142 276,5142 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-09-30 1 1 277,04 277,04 277,04 277,04 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-03 1 1 278,4137 278,4137 278,4137 278,4137 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-04 1 1 278,5198 278,5198 278,5198 278,5198 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-05 1 1 276,7274 276,7274 276,7274 276,7274 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-06 1 1 273,1827 273,1827 273,1827 273,1827 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-07 1 1 273,439 273,439 273,439 273,439 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-10 1 1 274,1312 274,1312 274,1312 274,1312 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-11 1 1 274,8111 274,8111 274,8111 274,8111 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-12 1 1 273,7283 273,7283 273,7283 273,7283 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-13 1 1 272,2339 272,2339 272,2339 272,2339 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-14 1 1 272,6112 272,6112 272,6112 272,6112 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-17 1 1 272,7798 272,7798 272,7798 272,7798 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-18 1 1 272,4205 272,4205 272,4205 272,4205 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-19 1 1 269,8457 269,8457 269,8457 269,8457 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-20 1 1 271,2216 271,2216 271,2216 271,2216 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-21 1 1 269,6047 269,6047 269,6047 269,6047 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-24 1 1 271,8059 271,8059 271,8059 271,8059 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-25 1 1 271,9217 271,9217 271,9217 271,9217 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-26 1 1 272,2895 272,2895 272,2895 272,2895 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-27 1 1 270,8523 270,8523 270,8523 270,8523 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-28 1 1 270,261 270,261 270,261 270,261 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-10-31 1 1 274,9927 274,9927 274,9927 274,9927 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-01 1 1 276,4281 276,4281 276,4281 276,4281 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-02 1 1 276,7703 276,7703 276,7703 276,7703 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-03 1 1 279,1705 279,1705 279,1705 279,1705 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-04 1 1 279,9359 279,9359 279,9359 279,9359 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-07 1 1 281,137 281,137 281,137 281,137 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-08 1 1 279,9135 279,9135 279,9135 279,9135 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-09 1 1 280,7996 280,7996 280,7996 280,7996 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-10 1 1 281,1429 281,1429 281,1429 281,1429 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-11 1 1 282,492 282,492 282,492 282,492 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-14 1 1 282,9834 282,9834 282,9834 282,9834 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-15 1 1 282,8913 282,8913 282,8913 282,8913 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-16 1 1 282,9542 282,9542 282,9542 282,9542 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-17 1 1 283,8753 283,8753 283,8753 283,8753 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-18 1 1 284,7031 284,7031 284,7031 284,7031 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-21 1 1 284,0641 284,0641 284,0641 284,0641 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-22 1 1 284,4244 284,4244 284,4244 284,4244 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-23 1 1 284,2972 284,2972 284,2972 284,2972 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-24 1 1 284,2267 284,2267 284,2267 284,2267 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-25 1 1 284,6889 284,6889 284,6889 284,6889 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-28 1 1 284,4964 284,4964 284,4964 284,4964 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-29 1 1 284,5848 284,5848 284,5848 284,5848 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-11-30 1 1 283,3827 283,3827 283,3827 283,3827 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-01 1 1 285,3005 285,3005 285,3005 285,3005 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-02 1 1 286,4173 286,4173 286,4173 286,4173 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-05 1 1 285,9686 285,9686 285,9686 285,9686 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-06 1 1 285,8127 285,8127 285,8127 285,8127 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-07 1 1 286,8612 286,8612 286,8612 286,8612 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-08 1 1 286,0379 286,0379 286,0379 286,0379 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-12 1 1 286,7674 286,7674 286,7674 286,7674 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-13 1 1 286,7507 286,7507 286,7507 286,7507 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-14 1 1 286,0888 286,0888 286,0888 286,0888 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-15 1 1 286,1001 286,1001 286,1001 286,1001 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-16 1 1 287,0409 287,0409 287,0409 287,0409 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-19 1 1 286,9768 286,9768 286,9768 286,9768 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-20 1 1 286,85 286,85 286,85 286,85 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-21 1 1 288,9162 288,9162 288,9162 288,9162 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-22 1 1 289,1327 289,1327 289,1327 289,1327 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-23 1 1 290,5015 290,5015 290,5015 290,5015 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-27 1 1 291,4203 291,4203 291,4203 291,4203 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-28 1 1 289,9421 289,9421 289,9421 289,9421 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-29 1 1 290,8268 290,8268 290,8268 290,8268 599795 Länsförsäkringar Fondförvaltning AB Länsförsäkringar Trygghetsfond SEK 2005-12-30 1 1 289,4448 289,4448 289,4448 289,4448 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-03 1 1 8,8 8,8 8,8 8,8 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-04 1 1 8,84 8,84 8,84 8,84 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-05 1 1 8,79 8,79 8,79 8,79 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-07 1 1 8,8 8,8 8,8 8,8 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-10 1 1 8,88 8,88 8,88 8,88 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-11 1 1 8,82 8,82 8,82 8,82 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-12 1 1 8,71 8,71 8,71 8,71 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-13 1 1 8,71 8,71 8,71 8,71 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-14 1 1 8,77 8,77 8,77 8,77 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-17 1 1 8,84 8,84 8,84 8,84 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-18 1 1 8,79 8,79 8,79 8,79 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-19 1 1 8,85 8,85 8,85 8,85 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-20 1 1 8,77 8,77 8,77 8,77 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-21 1 1 8,77 8,77 8,77 8,77 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-24 1 1 8,69 8,69 8,69 8,69 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-25 1 1 8,76 8,76 8,76 8,76 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-26 1 1 8,78 8,78 8,78 8,78 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-27 1 1 8,8 8,8 8,8 8,8 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-28 1 1 8,81 8,81 8,81 8,81 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-01-31 1 1 8,88 8,88 8,88 8,88 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-01 1 1 8,88 8,88 8,88 8,88 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-02 1 1 8,92 8,92 8,92 8,92 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-03 1 1 8,94 8,94 8,94 8,94 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-04 1 1 9 9 9 9 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-07 1 1 9,09 9,09 9,09 9,09 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-08 1 1 9,12 9,12 9,12 9,12 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-09 1 1 9,13 9,13 9,13 9,13 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-10 1 1 9,06 9,06 9,06 9,06 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-11 1 1 9,09 9,09 9,09 9,09 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-14 1 1 9,13 9,13 9,13 9,13 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-15 1 1 9,11 9,11 9,11 9,11 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-16 1 1 9,07 9,07 9,07 9,07 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-17 1 1 9,14 9,14 9,14 9,14 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-18 1 1 9,08 9,08 9,08 9,08 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-21 1 1 9,11 9,11 9,11 9,11 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-22 1 1 9 9 9 9 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-23 1 1 9 9 9 9 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-24 1 1 9,01 9,01 9,01 9,01 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-25 1 1 9,08 9,08 9,08 9,08 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-02-28 1 1 9,11 9,11 9,11 9,11 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-01 1 1 9,1 9,1 9,1 9,1 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-02 1 1 9,13 9,13 9,13 9,13 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-03 1 1 9,19 9,19 9,19 9,19 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-04 1 1 9,18 9,18 9,18 9,18 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-07 1 1 9,21 9,21 9,21 9,21 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-08 1 1 9,16 9,16 9,16 9,16 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-09 1 1 9,12 9,12 9,12 9,12 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-10 1 1 9,06 9,06 9,06 9,06 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-11 1 1 9,08 9,08 9,08 9,08 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-14 1 1 9,08 9,08 9,08 9,08 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-15 1 1 9,16 9,16 9,16 9,16 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-16 1 1 9,06 9,06 9,06 9,06 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-17 1 1 9,03 9,03 9,03 9,03 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-18 1 1 9,08 9,08 9,08 9,08 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-21 1 1 9,08 9,08 9,08 9,08 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-22 1 1 9,1 9,1 9,1 9,1 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-23 1 1 9,05 9,05 9,05 9,05 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-24 1 1 9,1 9,1 9,1 9,1 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-29 1 1 9,12 9,12 9,12 9,12 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-30 1 1 9,06 9,06 9,06 9,06 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-03-31 1 1 9,15 9,15 9,15 9,15 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-01 1 1 9,18 9,18 9,18 9,18 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-04 1 1 9,18 9,18 9,18 9,18 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-05 1 1 9,26 9,26 9,26 9,26 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-06 1 1 9,3 9,3 9,3 9,3 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-07 1 1 9,31 9,31 9,31 9,31 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-08 1 1 9,38 9,38 9,38 9,38 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-11 1 1 9,36 9,36 9,36 9,36 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-12 1 1 9,32 9,32 9,32 9,32 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-13 1 1 9,38 9,38 9,38 9,38 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-14 1 1 9,41 9,41 9,41 9,41 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-15 1 1 9,28 9,28 9,28 9,28 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-18 1 1 9,1 9,1 9,1 9,1 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-19 1 1 9,17 9,17 9,17 9,17 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-20 1 1 9,16 9,16 9,16 9,16 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-21 1 1 9,15 9,15 9,15 9,15 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-22 1 1 9,21 9,21 9,21 9,21 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-25 1 1 9,22 9,22 9,22 9,22 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-26 1 1 9,17 9,17 9,17 9,17 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-27 1 1 9,04 9,04 9,04 9,04 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-28 1 1 9 9 9 9 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-04-29 1 1 9,05 9,05 9,05 9,05 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-02 1 1 9,14 9,14 9,14 9,14 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-03 1 1 9,14 9,14 9,14 9,14 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-04 1 1 9,12 9,12 9,12 9,12 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-06 1 1 9,26 9,26 9,26 9,26 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-09 1 1 9,27 9,27 9,27 9,27 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-10 1 1 9,22 9,22 9,22 9,22 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-11 1 1 9,23 9,23 9,23 9,23 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-12 1 1 9,29 9,29 9,29 9,29 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-13 1 1 9,3 9,3 9,3 9,3 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-16 1 1 9,3 9,3 9,3 9,3 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-17 1 1 9,34 9,34 9,34 9,34 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-18 1 1 9,41 9,41 9,41 9,41 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-19 1 1 9,46 9,46 9,46 9,46 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-20 1 1 9,47 9,47 9,47 9,47 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-23 1 1 9,47 9,47 9,47 9,47 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-24 1 1 9,47 9,47 9,47 9,47 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-25 1 1 9,48 9,48 9,48 9,48 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-26 1 1 9,53 9,53 9,53 9,53 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-27 1 1 9,55 9,55 9,55 9,55 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-30 1 1 9,58 9,58 9,58 9,58 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-05-31 1 1 9,63 9,63 9,63 9,63 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-01 1 1 9,64 9,64 9,64 9,64 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-02 1 1 9,65 9,65 9,65 9,65 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-03 1 1 9,62 9,62 9,62 9,62 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-07 1 1 9,64 9,64 9,64 9,64 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-08 1 1 9,71 9,71 9,71 9,71 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-09 1 1 9,71 9,71 9,71 9,71 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-10 1 1 9,79 9,79 9,79 9,79 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-13 1 1 9,67 9,67 9,67 9,67 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-14 1 1 9,71 9,71 9,71 9,71 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-15 1 1 9,72 9,72 9,72 9,72 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-16 1 1 9,74 9,74 9,74 9,74 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-17 1 1 9,77 9,77 9,77 9,77 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-20 1 1 9,74 9,74 9,74 9,74 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-21 1 1 9,83 9,83 9,83 9,83 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-22 1 1 9,9 9,9 9,9 9,9 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-23 1 1 9,98 9,98 9,98 9,98 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-27 1 1 9,79 9,79 9,79 9,79 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-28 1 1 9,84 9,84 9,84 9,84 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-29 1 1 9,96 9,96 9,96 9,96 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-06-30 1 1 9,96 9,96 9,96 9,96 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-01 1 1 9,99 9,99 9,99 9,99 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-04 1 1 10,07 10,07 10,07 10,07 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-05 1 1 10,03 10,03 10,03 10,03 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-06 1 1 10,06 10,06 10,06 10,06 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-07 1 1 9,89 9,89 9,89 9,89 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-08 1 1 10,04 10,04 10,04 10,04 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-11 1 1 10,18 10,18 10,18 10,18 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-12 1 1 10,17 10,17 10,17 10,17 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-13 1 1 10,2 10,2 10,2 10,2 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-14 1 1 10,26 10,26 10,26 10,26 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-15 1 1 10,24 10,24 10,24 10,24 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-18 1 1 10,22 10,22 10,22 10,22 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-19 1 1 10,26 10,26 10,26 10,26 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-20 1 1 10,21 10,21 10,21 10,21 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-21 1 1 10,3 10,3 10,3 10,3 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-22 1 1 10,29 10,29 10,29 10,29 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-25 1 1 10,28 10,28 10,28 10,28 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-26 1 1 10,33 10,33 10,33 10,33 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-27 1 1 10,35 10,35 10,35 10,35 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-28 1 1 10,39 10,39 10,39 10,39 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-07-29 1 1 10,39 10,39 10,39 10,39 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-01 1 1 10,35 10,35 10,35 10,35 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-02 1 1 10,37 10,37 10,37 10,37 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-03 1 1 10,38 10,38 10,38 10,38 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-04 1 1 10,32 10,32 10,32 10,32 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-05 1 1 10,28 10,28 10,28 10,28 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-08 1 1 10,27 10,27 10,27 10,27 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-09 1 1 10,31 10,31 10,31 10,31 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-10 1 1 10,41 10,41 10,41 10,41 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-11 1 1 10,37 10,37 10,37 10,37 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-12 1 1 10,37 10,37 10,37 10,37 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-15 1 1 10,38 10,38 10,38 10,38 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-16 1 1 10,42 10,42 10,42 10,42 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-17 1 1 10,33 10,33 10,33 10,33 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-18 1 1 10,35 10,35 10,35 10,35 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-19 1 1 10,42 10,42 10,42 10,42 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-22 1 1 10,45 10,45 10,45 10,45 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-23 1 1 10,37 10,37 10,37 10,37 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-24 1 1 10,24 10,24 10,24 10,24 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-25 1 1 10,17 10,17 10,17 10,17 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-26 1 1 10,12 10,12 10,12 10,12 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-29 1 1 10,1 10,1 10,1 10,1 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-30 1 1 10,17 10,17 10,17 10,17 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-08-31 1 1 10,23 10,23 10,23 10,23 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-01 1 1 10,26 10,26 10,26 10,26 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-02 1 1 10,2 10,2 10,2 10,2 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-05 1 1 10,26 10,26 10,26 10,26 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-06 1 1 10,31 10,31 10,31 10,31 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-07 1 1 10,39 10,39 10,39 10,39 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-08 1 1 10,38 10,38 10,38 10,38 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-09 1 1 10,44 10,44 10,44 10,44 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-12 1 1 10,5 10,5 10,5 10,5 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-13 1 1 10,5 10,5 10,5 10,5 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-14 1 1 10,52 10,52 10,52 10,52 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-15 1 1 10,5 10,5 10,5 10,5 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-16 1 1 10,53 10,53 10,53 10,53 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-19 1 1 10,58 10,58 10,58 10,58 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-20 1 1 10,56 10,56 10,56 10,56 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-21 1 1 10,47 10,47 10,47 10,47 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-22 1 1 10,45 10,45 10,45 10,45 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-23 1 1 10,5 10,5 10,5 10,5 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-26 1 1 10,63 10,63 10,63 10,63 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-27 1 1 10,68 10,68 10,68 10,68 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-28 1 1 10,74 10,74 10,74 10,74 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-29 1 1 10,74 10,74 10,74 10,74 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-09-30 1 1 10,79 10,79 10,79 10,79 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-03 1 1 10,86 10,86 10,86 10,86 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-04 1 1 10,89 10,89 10,89 10,89 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-05 1 1 10,79 10,79 10,79 10,79 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-06 1 1 10,59 10,59 10,59 10,59 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-07 1 1 10,59 10,59 10,59 10,59 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-10 1 1 10,65 10,65 10,65 10,65 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-11 1 1 10,67 10,67 10,67 10,67 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-12 1 1 10,61 10,61 10,61 10,61 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-13 1 1 10,5 10,5 10,5 10,5 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-14 1 1 10,5 10,5 10,5 10,5 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-17 1 1 10,53 10,53 10,53 10,53 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-18 1 1 10,51 10,51 10,51 10,51 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-19 1 1 10,37 10,37 10,37 10,37 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-20 1 1 10,47 10,47 10,47 10,47 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-21 1 1 10,35 10,35 10,35 10,35 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-24 1 1 10,47 10,47 10,47 10,47 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-25 1 1 10,51 10,51 10,51 10,51 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-26 1 1 10,53 10,53 10,53 10,53 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-27 1 1 10,44 10,44 10,44 10,44 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-28 1 1 10,38 10,38 10,38 10,38 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-10-31 1 1 10,64 10,64 10,64 10,64 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-01 1 1 10,7 10,7 10,7 10,7 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-02 1 1 10,73 10,73 10,73 10,73 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-03 1 1 10,9 10,9 10,9 10,9 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-04 1 1 10,9 10,9 10,9 10,9 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-07 1 1 10,97 10,97 10,97 10,97 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-08 1 1 10,93 10,93 10,93 10,93 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-09 1 1 10,94 10,94 10,94 10,94 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-10 1 1 10,99 10,99 10,99 10,99 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-11 1 1 11,05 11,05 11,05 11,05 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-14 1 1 11,08 11,08 11,08 11,08 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-15 1 1 11,04 11,04 11,04 11,04 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-16 1 1 11,04 11,04 11,04 11,04 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-17 1 1 11,11 11,11 11,11 11,11 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-18 1 1 11,15 11,15 11,15 11,15 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-21 1 1 11,11 11,11 11,11 11,11 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-22 1 1 11,17 11,17 11,17 11,17 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-23 1 1 11,15 11,15 11,15 11,15 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-24 1 1 11,14 11,14 11,14 11,14 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-25 1 1 11,17 11,17 11,17 11,17 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-28 1 1 11,19 11,19 11,19 11,19 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-29 1 1 11,18 11,18 11,18 11,18 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-11-30 1 1 11,13 11,13 11,13 11,13 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-01 1 1 11,23 11,23 11,23 11,23 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-02 1 1 11,31 11,31 11,31 11,31 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-05 1 1 11,29 11,29 11,29 11,29 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-06 1 1 11,28 11,28 11,28 11,28 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-07 1 1 11,31 11,31 11,31 11,31 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-08 1 1 11,3 11,3 11,3 11,3 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-12 1 1 11,34 11,34 11,34 11,34 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-13 1 1 11,32 11,32 11,32 11,32 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-14 1 1 11,29 11,29 11,29 11,29 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-15 1 1 11,28 11,28 11,28 11,28 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-16 1 1 11,33 11,33 11,33 11,33 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-19 1 1 11,35 11,35 11,35 11,35 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-20 1 1 11,33 11,33 11,33 11,33 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-21 1 1 11,44 11,44 11,44 11,44 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-22 1 1 11,47 11,47 11,47 11,47 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-23 1 1 11,55 11,55 11,55 11,55 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-27 1 1 11,61 11,61 11,61 11,61 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-28 1 1 11,52 11,52 11,52 11,52 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-29 1 1 11,59 11,59 11,59 11,59 152835 Svenska Lärarfonder AB Lärarfond 21-44 år SEK 2005-12-30 1 1 11,53 11,53 11,53 11,53 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-03 1 1 9,52 9,52 9,52 9,52 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-04 1 1 9,56 9,56 9,56 9,56 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-05 1 1 9,51 9,51 9,51 9,51 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-07 1 1 9,53 9,53 9,53 9,53 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-10 1 1 9,59 9,59 9,59 9,59 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-11 1 1 9,54 9,54 9,54 9,54 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-12 1 1 9,46 9,46 9,46 9,46 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-13 1 1 9,46 9,46 9,46 9,46 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-14 1 1 9,51 9,51 9,51 9,51 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-17 1 1 9,57 9,57 9,57 9,57 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-18 1 1 9,53 9,53 9,53 9,53 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-19 1 1 9,58 9,58 9,58 9,58 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-20 1 1 9,51 9,51 9,51 9,51 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-21 1 1 9,51 9,51 9,51 9,51 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-24 1 1 9,46 9,46 9,46 9,46 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-25 1 1 9,51 9,51 9,51 9,51 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-26 1 1 9,52 9,52 9,52 9,52 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-27 1 1 9,54 9,54 9,54 9,54 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-28 1 1 9,55 9,55 9,55 9,55 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-01-31 1 1 9,6 9,6 9,6 9,6 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-01 1 1 9,61 9,61 9,61 9,61 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-02 1 1 9,64 9,64 9,64 9,64 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-03 1 1 9,65 9,65 9,65 9,65 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-04 1 1 9,71 9,71 9,71 9,71 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-07 1 1 9,78 9,78 9,78 9,78 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-08 1 1 9,8 9,8 9,8 9,8 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-09 1 1 9,81 9,81 9,81 9,81 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-10 1 1 9,76 9,76 9,76 9,76 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-11 1 1 9,79 9,79 9,79 9,79 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-14 1 1 9,81 9,81 9,81 9,81 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-15 1 1 9,8 9,8 9,8 9,8 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-16 1 1 9,77 9,77 9,77 9,77 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-17 1 1 9,82 9,82 9,82 9,82 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-18 1 1 9,77 9,77 9,77 9,77 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-21 1 1 9,79 9,79 9,79 9,79 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-22 1 1 9,7 9,7 9,7 9,7 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-23 1 1 9,7 9,7 9,7 9,7 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-24 1 1 9,7 9,7 9,7 9,7 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-25 1 1 9,76 9,76 9,76 9,76 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-02-28 1 1 9,79 9,79 9,79 9,79 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-01 1 1 9,78 9,78 9,78 9,78 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-02 1 1 9,8 9,8 9,8 9,8 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-03 1 1 9,85 9,85 9,85 9,85 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-04 1 1 9,85 9,85 9,85 9,85 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-07 1 1 9,87 9,87 9,87 9,87 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-08 1 1 9,83 9,83 9,83 9,83 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-09 1 1 9,8 9,8 9,8 9,8 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-10 1 1 9,75 9,75 9,75 9,75 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-11 1 1 9,76 9,76 9,76 9,76 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-14 1 1 9,76 9,76 9,76 9,76 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-15 1 1 9,83 9,83 9,83 9,83 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-16 1 1 9,74 9,74 9,74 9,74 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-17 1 1 9,72 9,72 9,72 9,72 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-18 1 1 9,76 9,76 9,76 9,76 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-21 1 1 9,77 9,77 9,77 9,77 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-22 1 1 9,78 9,78 9,78 9,78 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-23 1 1 9,74 9,74 9,74 9,74 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-24 1 1 9,78 9,78 9,78 9,78 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-29 1 1 9,8 9,8 9,8 9,8 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-30 1 1 9,75 9,75 9,75 9,75 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-03-31 1 1 9,82 9,82 9,82 9,82 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-01 1 1 9,85 9,85 9,85 9,85 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-04 1 1 9,85 9,85 9,85 9,85 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-05 1 1 9,92 9,92 9,92 9,92 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-06 1 1 9,95 9,95 9,95 9,95 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-07 1 1 9,96 9,96 9,96 9,96 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-08 1 1 10,02 10,02 10,02 10,02 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-11 1 1 9,99 9,99 9,99 9,99 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-12 1 1 9,96 9,96 9,96 9,96 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-13 1 1 10,02 10,02 10,02 10,02 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-14 1 1 10,04 10,04 10,04 10,04 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-15 1 1 9,94 9,94 9,94 9,94 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-18 1 1 9,79 9,79 9,79 9,79 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-19 1 1 9,85 9,85 9,85 9,85 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-20 1 1 9,84 9,84 9,84 9,84 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-21 1 1 9,83 9,83 9,83 9,83 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-22 1 1 9,89 9,89 9,89 9,89 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-25 1 1 9,9 9,9 9,9 9,9 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-26 1 1 9,86 9,86 9,86 9,86 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-27 1 1 9,76 9,76 9,76 9,76 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-28 1 1 9,73 9,73 9,73 9,73 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-04-29 1 1 9,77 9,77 9,77 9,77 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-02 1 1 9,85 9,85 9,85 9,85 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-03 1 1 9,85 9,85 9,85 9,85 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-04 1 1 9,83 9,83 9,83 9,83 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-06 1 1 9,94 9,94 9,94 9,94 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-09 1 1 9,94 9,94 9,94 9,94 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-10 1 1 9,91 9,91 9,91 9,91 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-11 1 1 9,92 9,92 9,92 9,92 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-12 1 1 9,97 9,97 9,97 9,97 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-13 1 1 9,98 9,98 9,98 9,98 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-16 1 1 9,98 9,98 9,98 9,98 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-17 1 1 10,01 10,01 10,01 10,01 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-18 1 1 10,08 10,08 10,08 10,08 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-19 1 1 10,12 10,12 10,12 10,12 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-20 1 1 10,12 10,12 10,12 10,12 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-23 1 1 10,12 10,12 10,12 10,12 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-24 1 1 10,13 10,13 10,13 10,13 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-25 1 1 10,14 10,14 10,14 10,14 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-26 1 1 10,17 10,17 10,17 10,17 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-27 1 1 10,19 10,19 10,19 10,19 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-30 1 1 10,22 10,22 10,22 10,22 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-05-31 1 1 10,26 10,26 10,26 10,26 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-01 1 1 10,27 10,27 10,27 10,27 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-02 1 1 10,28 10,28 10,28 10,28 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-03 1 1 10,27 10,27 10,27 10,27 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-07 1 1 10,28 10,28 10,28 10,28 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-08 1 1 10,35 10,35 10,35 10,35 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-09 1 1 10,34 10,34 10,34 10,34 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-10 1 1 10,41 10,41 10,41 10,41 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-13 1 1 10,22 10,22 10,22 10,22 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-14 1 1 10,25 10,25 10,25 10,25 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-15 1 1 10,26 10,26 10,26 10,26 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-16 1 1 10,27 10,27 10,27 10,27 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-17 1 1 10,29 10,29 10,29 10,29 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-20 1 1 10,27 10,27 10,27 10,27 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-21 1 1 10,35 10,35 10,35 10,35 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-22 1 1 10,42 10,42 10,42 10,42 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-23 1 1 10,48 10,48 10,48 10,48 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-27 1 1 10,33 10,33 10,33 10,33 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-28 1 1 10,37 10,37 10,37 10,37 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-29 1 1 10,47 10,47 10,47 10,47 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-06-30 1 1 10,47 10,47 10,47 10,47 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-01 1 1 10,49 10,49 10,49 10,49 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-04 1 1 10,56 10,56 10,56 10,56 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-05 1 1 10,52 10,52 10,52 10,52 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-06 1 1 10,54 10,54 10,54 10,54 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-07 1 1 10,41 10,41 10,41 10,41 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-08 1 1 10,53 10,53 10,53 10,53 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-11 1 1 10,65 10,65 10,65 10,65 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-12 1 1 10,63 10,63 10,63 10,63 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-13 1 1 10,65 10,65 10,65 10,65 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-14 1 1 10,7 10,7 10,7 10,7 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-15 1 1 10,68 10,68 10,68 10,68 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-18 1 1 10,67 10,67 10,67 10,67 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-19 1 1 10,7 10,7 10,7 10,7 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-20 1 1 10,66 10,66 10,66 10,66 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-21 1 1 10,73 10,73 10,73 10,73 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-22 1 1 10,73 10,73 10,73 10,73 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-25 1 1 10,73 10,73 10,73 10,73 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-26 1 1 10,77 10,77 10,77 10,77 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-27 1 1 10,78 10,78 10,78 10,78 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-28 1 1 10,81 10,81 10,81 10,81 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-07-29 1 1 10,81 10,81 10,81 10,81 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-01 1 1 10,77 10,77 10,77 10,77 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-02 1 1 10,78 10,78 10,78 10,78 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-03 1 1 10,79 10,79 10,79 10,79 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-04 1 1 10,74 10,74 10,74 10,74 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-05 1 1 10,7 10,7 10,7 10,7 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-08 1 1 10,7 10,7 10,7 10,7 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-09 1 1 10,73 10,73 10,73 10,73 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-10 1 1 10,81 10,81 10,81 10,81 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-11 1 1 10,78 10,78 10,78 10,78 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-12 1 1 10,78 10,78 10,78 10,78 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-15 1 1 10,79 10,79 10,79 10,79 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-16 1 1 10,82 10,82 10,82 10,82 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-17 1 1 10,75 10,75 10,75 10,75 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-18 1 1 10,76 10,76 10,76 10,76 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-19 1 1 10,82 10,82 10,82 10,82 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-22 1 1 10,85 10,85 10,85 10,85 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-23 1 1 10,79 10,79 10,79 10,79 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-24 1 1 10,68 10,68 10,68 10,68 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-25 1 1 10,63 10,63 10,63 10,63 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-26 1 1 10,59 10,59 10,59 10,59 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-29 1 1 10,58 10,58 10,58 10,58 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-30 1 1 10,63 10,63 10,63 10,63 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-08-31 1 1 10,67 10,67 10,67 10,67 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-01 1 1 10,7 10,7 10,7 10,7 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-02 1 1 10,65 10,65 10,65 10,65 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-05 1 1 10,7 10,7 10,7 10,7 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-06 1 1 10,74 10,74 10,74 10,74 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-07 1 1 10,79 10,79 10,79 10,79 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-08 1 1 10,79 10,79 10,79 10,79 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-09 1 1 10,84 10,84 10,84 10,84 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-12 1 1 10,87 10,87 10,87 10,87 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-13 1 1 10,87 10,87 10,87 10,87 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-14 1 1 10,89 10,89 10,89 10,89 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-15 1 1 10,88 10,88 10,88 10,88 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-16 1 1 10,9 10,9 10,9 10,9 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-19 1 1 10,93 10,93 10,93 10,93 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-20 1 1 10,92 10,92 10,92 10,92 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-21 1 1 10,86 10,86 10,86 10,86 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-22 1 1 10,85 10,85 10,85 10,85 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-23 1 1 10,88 10,88 10,88 10,88 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-26 1 1 10,97 10,97 10,97 10,97 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-27 1 1 11,01 11,01 11,01 11,01 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-28 1 1 11,05 11,05 11,05 11,05 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-29 1 1 11,05 11,05 11,05 11,05 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-09-30 1 1 11,08 11,08 11,08 11,08 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-03 1 1 11,13 11,13 11,13 11,13 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-04 1 1 11,15 11,15 11,15 11,15 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-05 1 1 11,08 11,08 11,08 11,08 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-06 1 1 10,93 10,93 10,93 10,93 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-07 1 1 10,93 10,93 10,93 10,93 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-10 1 1 10,97 10,97 10,97 10,97 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-11 1 1 10,99 10,99 10,99 10,99 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-12 1 1 10,94 10,94 10,94 10,94 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-13 1 1 10,86 10,86 10,86 10,86 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-14 1 1 10,86 10,86 10,86 10,86 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-17 1 1 10,89 10,89 10,89 10,89 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-18 1 1 10,87 10,87 10,87 10,87 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-19 1 1 10,77 10,77 10,77 10,77 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-20 1 1 10,84 10,84 10,84 10,84 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-21 1 1 10,76 10,76 10,76 10,76 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-24 1 1 10,85 10,85 10,85 10,85 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-25 1 1 10,87 10,87 10,87 10,87 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-26 1 1 10,88 10,88 10,88 10,88 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-27 1 1 10,81 10,81 10,81 10,81 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-28 1 1 10,77 10,77 10,77 10,77 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-10-31 1 1 10,96 10,96 10,96 10,96 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-01 1 1 11 11 11 11 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-02 1 1 11,02 11,02 11,02 11,02 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-03 1 1 11,15 11,15 11,15 11,15 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-04 1 1 11,14 11,14 11,14 11,14 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-07 1 1 11,2 11,2 11,2 11,2 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-08 1 1 11,17 11,17 11,17 11,17 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-09 1 1 11,17 11,17 11,17 11,17 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-10 1 1 11,21 11,21 11,21 11,21 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-11 1 1 11,26 11,26 11,26 11,26 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-14 1 1 11,28 11,28 11,28 11,28 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-15 1 1 11,25 11,25 11,25 11,25 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-16 1 1 11,26 11,26 11,26 11,26 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-17 1 1 11,3 11,3 11,3 11,3 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-18 1 1 11,33 11,33 11,33 11,33 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-21 1 1 11,3 11,3 11,3 11,3 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-22 1 1 11,35 11,35 11,35 11,35 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-23 1 1 11,33 11,33 11,33 11,33 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-24 1 1 11,34 11,34 11,34 11,34 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-25 1 1 11,35 11,35 11,35 11,35 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-28 1 1 11,37 11,37 11,37 11,37 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-29 1 1 11,36 11,36 11,36 11,36 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-11-30 1 1 11,32 11,32 11,32 11,32 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-01 1 1 11,4 11,4 11,4 11,4 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-02 1 1 11,45 11,45 11,45 11,45 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-05 1 1 11,43 11,43 11,43 11,43 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-06 1 1 11,43 11,43 11,43 11,43 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-07 1 1 11,45 11,45 11,45 11,45 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-08 1 1 11,44 11,44 11,44 11,44 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-12 1 1 11,47 11,47 11,47 11,47 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-13 1 1 11,46 11,46 11,46 11,46 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-14 1 1 11,43 11,43 11,43 11,43 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-15 1 1 11,43 11,43 11,43 11,43 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-16 1 1 11,47 11,47 11,47 11,47 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-19 1 1 11,49 11,49 11,49 11,49 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-20 1 1 11,47 11,47 11,47 11,47 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-21 1 1 11,55 11,55 11,55 11,55 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-22 1 1 11,57 11,57 11,57 11,57 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-23 1 1 11,63 11,63 11,63 11,63 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-27 1 1 11,68 11,68 11,68 11,68 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-28 1 1 11,61 11,61 11,61 11,61 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-29 1 1 11,66 11,66 11,66 11,66 117002 Svenska Lärarfonder AB Lärarfond 45-58 år SEK 2005-12-30 1 1 11,62 11,62 11,62 11,62 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-03 1 1 10,47 10,47 10,47 10,47 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-04 1 1 10,49 10,49 10,49 10,49 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-05 1 1 10,45 10,45 10,45 10,45 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-07 1 1 10,47 10,47 10,47 10,47 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-10 1 1 10,52 10,52 10,52 10,52 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-11 1 1 10,49 10,49 10,49 10,49 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-12 1 1 10,44 10,44 10,44 10,44 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-13 1 1 10,45 10,45 10,45 10,45 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-14 1 1 10,47 10,47 10,47 10,47 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-17 1 1 10,51 10,51 10,51 10,51 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-18 1 1 10,48 10,48 10,48 10,48 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-19 1 1 10,51 10,51 10,51 10,51 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-20 1 1 10,47 10,47 10,47 10,47 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-21 1 1 10,47 10,47 10,47 10,47 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-24 1 1 10,45 10,45 10,45 10,45 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-25 1 1 10,49 10,49 10,49 10,49 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-26 1 1 10,48 10,48 10,48 10,48 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-27 1 1 10,5 10,5 10,5 10,5 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-28 1 1 10,51 10,51 10,51 10,51 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-01-31 1 1 10,54 10,54 10,54 10,54 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-01 1 1 10,54 10,54 10,54 10,54 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-02 1 1 10,57 10,57 10,57 10,57 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-03 1 1 10,56 10,56 10,56 10,56 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-04 1 1 10,6 10,6 10,6 10,6 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-07 1 1 10,64 10,64 10,64 10,64 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-08 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-09 1 1 10,67 10,67 10,67 10,67 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-10 1 1 10,64 10,64 10,64 10,64 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-11 1 1 10,66 10,66 10,66 10,66 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-14 1 1 10,67 10,67 10,67 10,67 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-15 1 1 10,67 10,67 10,67 10,67 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-16 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-17 1 1 10,67 10,67 10,67 10,67 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-18 1 1 10,63 10,63 10,63 10,63 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-21 1 1 10,64 10,64 10,64 10,64 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-22 1 1 10,59 10,59 10,59 10,59 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-23 1 1 10,61 10,61 10,61 10,61 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-24 1 1 10,61 10,61 10,61 10,61 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-25 1 1 10,63 10,63 10,63 10,63 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-02-28 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-01 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-02 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-03 1 1 10,68 10,68 10,68 10,68 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-04 1 1 10,7 10,7 10,7 10,7 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-07 1 1 10,71 10,71 10,71 10,71 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-08 1 1 10,7 10,7 10,7 10,7 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-09 1 1 10,67 10,67 10,67 10,67 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-10 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-11 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-14 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-15 1 1 10,69 10,69 10,69 10,69 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-16 1 1 10,64 10,64 10,64 10,64 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-17 1 1 10,63 10,63 10,63 10,63 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-18 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-21 1 1 10,64 10,64 10,64 10,64 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-22 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-23 1 1 10,63 10,63 10,63 10,63 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-24 1 1 10,66 10,66 10,66 10,66 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-29 1 1 10,67 10,67 10,67 10,67 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-30 1 1 10,65 10,65 10,65 10,65 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-03-31 1 1 10,69 10,69 10,69 10,69 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-01 1 1 10,72 10,72 10,72 10,72 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-04 1 1 10,72 10,72 10,72 10,72 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-05 1 1 10,75 10,75 10,75 10,75 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-06 1 1 10,77 10,77 10,77 10,77 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-07 1 1 10,78 10,78 10,78 10,78 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-08 1 1 10,8 10,8 10,8 10,8 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-11 1 1 10,81 10,81 10,81 10,81 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-12 1 1 10,79 10,79 10,79 10,79 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-13 1 1 10,83 10,83 10,83 10,83 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-14 1 1 10,85 10,85 10,85 10,85 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-15 1 1 10,81 10,81 10,81 10,81 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-18 1 1 10,74 10,74 10,74 10,74 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-19 1 1 10,77 10,77 10,77 10,77 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-20 1 1 10,77 10,77 10,77 10,77 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-21 1 1 10,76 10,76 10,76 10,76 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-22 1 1 10,81 10,81 10,81 10,81 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-25 1 1 10,81 10,81 10,81 10,81 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-26 1 1 10,8 10,8 10,8 10,8 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-27 1 1 10,74 10,74 10,74 10,74 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-28 1 1 10,72 10,72 10,72 10,72 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-04-29 1 1 10,75 10,75 10,75 10,75 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-02 1 1 10,79 10,79 10,79 10,79 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-03 1 1 10,79 10,79 10,79 10,79 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-04 1 1 10,78 10,78 10,78 10,78 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-06 1 1 10,82 10,82 10,82 10,82 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-09 1 1 10,83 10,83 10,83 10,83 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-10 1 1 10,83 10,83 10,83 10,83 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-11 1 1 10,84 10,84 10,84 10,84 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-12 1 1 10,86 10,86 10,86 10,86 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-13 1 1 10,88 10,88 10,88 10,88 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-16 1 1 10,89 10,89 10,89 10,89 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-17 1 1 10,91 10,91 10,91 10,91 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-18 1 1 10,95 10,95 10,95 10,95 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-19 1 1 10,97 10,97 10,97 10,97 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-20 1 1 10,96 10,96 10,96 10,96 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-23 1 1 10,96 10,96 10,96 10,96 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-24 1 1 10,97 10,97 10,97 10,97 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-25 1 1 10,98 10,98 10,98 10,98 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-26 1 1 10,99 10,99 10,99 10,99 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-27 1 1 11,01 11,01 11,01 11,01 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-30 1 1 11,01 11,01 11,01 11,01 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-05-31 1 1 11,04 11,04 11,04 11,04 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-01 1 1 11,05 11,05 11,05 11,05 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-02 1 1 11,05 11,05 11,05 11,05 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-03 1 1 11,06 11,06 11,06 11,06 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-07 1 1 11,07 11,07 11,07 11,07 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-08 1 1 11,12 11,12 11,12 11,12 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-09 1 1 11,12 11,12 11,12 11,12 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-10 1 1 11,15 11,15 11,15 11,15 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-13 1 1 10,78 10,78 10,78 10,78 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-14 1 1 10,79 10,79 10,79 10,79 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-15 1 1 10,79 10,79 10,79 10,79 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-16 1 1 10,78 10,78 10,78 10,78 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-17 1 1 10,81 10,81 10,81 10,81 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-20 1 1 10,8 10,8 10,8 10,8 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-21 1 1 10,86 10,86 10,86 10,86 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-22 1 1 10,91 10,91 10,91 10,91 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-23 1 1 10,93 10,93 10,93 10,93 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-27 1 1 10,87 10,87 10,87 10,87 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-28 1 1 10,88 10,88 10,88 10,88 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-29 1 1 10,93 10,93 10,93 10,93 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-06-30 1 1 10,93 10,93 10,93 10,93 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-01 1 1 10,95 10,95 10,95 10,95 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-04 1 1 10,97 10,97 10,97 10,97 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-05 1 1 10,95 10,95 10,95 10,95 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-06 1 1 10,97 10,97 10,97 10,97 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-07 1 1 10,9 10,9 10,9 10,9 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-08 1 1 10,97 10,97 10,97 10,97 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-11 1 1 11,02 11,02 11,02 11,02 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-12 1 1 11,01 11,01 11,01 11,01 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-13 1 1 11,03 11,03 11,03 11,03 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-14 1 1 11,05 11,05 11,05 11,05 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-15 1 1 11,03 11,03 11,03 11,03 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-18 1 1 11,03 11,03 11,03 11,03 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-19 1 1 11,04 11,04 11,04 11,04 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-20 1 1 11,02 11,02 11,02 11,02 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-21 1 1 11,06 11,06 11,06 11,06 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-22 1 1 11,07 11,07 11,07 11,07 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-25 1 1 11,07 11,07 11,07 11,07 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-26 1 1 11,08 11,08 11,08 11,08 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-27 1 1 11,1 11,1 11,1 11,1 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-28 1 1 11,11 11,11 11,11 11,11 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-07-29 1 1 11,11 11,11 11,11 11,11 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-08-01 1 1 11,08 11,08 11,08 11,08 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-08-02 1 1 11,08 11,08 11,08 11,08 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-08-03 1 1 11,08 11,08 11,08 11,08 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-08-04 1 1 11,06 11,06 11,06 11,06 981175 Svenska Lärarfonder AB Lärarfond 59+ SEK 2005-08-05 1 1 11,04 11,04 11,04 11,04 981175 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9,4915 9,4865 0,39279 0,39279 3,728166285 3,726202335 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-10-24 9,5455 9,5405 0,3943 0,3943 3,76379065 3,76181915 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-10-25 9,5465 9,5415 0,39467 0,39467 3,767717155 3,765743805 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-10-26 9,4975 9,4925 0,39457 0,39457 3,747428575 3,745455725 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-10-27 9,5355 9,5305 0,39358 0,39358 3,75298209 3,75101419 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-10-28 9,5135 9,5085 0,3926 0,3926 3,7350001 3,7330371 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-10-31 9,5495 9,5445 0,39295 0,39295 3,752476025 3,750511275 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-01 9,5495 9,5445 0,39462 0,39462 3,76842369 3,76645059 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-02 9,5855 9,5805 0,39403 0,39403 3,776974565 3,775004415 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-03 9,6515 9,6465 0,39533 0,39533 3,815527495 3,813550845 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-04 9,5875 9,5825 0,39656 0,39656 3,802019 3,8000362 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-07 9,6075 9,6025 0,39859 0,39859 3,829453425 3,827460475 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-08 9,5685 9,5635 0,39952 0,39952 3,82280712 3,82080952 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-09 9,5575 9,5525 0,40311 0,40311 3,852723825 3,850708275 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-10 9,6105 9,6055 0,40679 0,40679 3,909455295 3,907421345 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-11 9,6365 9,6315 0,40659 0,40659 3,918104535 3,916071585 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-14 9,5505 9,5455 0,40724 0,40724 3,88934562 3,88730942 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-15 9,5805 9,5755 0,40714 0,40714 3,90060477 3,89856907 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-16 9,6235 9,6185 0,40711 0,40711 3,917823085 3,915787535 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-17 9,6355 9,6305 0,40812 0,40812 3,93244026 3,93039966 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-18 9,6085 9,6035 0,4076 0,4076 3,9164246 3,9143866 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-21 9,5915 9,5865 0,40719 0,40719 3,905562885 3,903526935 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-22 9,5585 9,5535 0,4057 0,4057 3,87788345 3,87585495 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-23 9,5155 9,5105 0,40454 0,40454 3,84940037 3,84737767 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-24 9,5125 9,5075 0,4033 0,4033 3,83639125 3,83437475 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-25 9,4965 9,4915 0,40219 0,40219 3,819397335 3,817386385 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-28 9,4835 9,4785 0,40089 0,40089 3,801840315 3,799835865 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-29 9,4785 9,4735 0,40051 0,40051 3,796234035 3,794231485 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-11-30 9,5295 9,5245 0,39911 0,39911 3,803318745 3,801323195 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-01 9,5165 9,5115 0,40161 0,40161 3,821921565 3,819913515 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-02 9,4905 9,4855 0,40136 0,40136 3,80910708 3,80710028 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-05 9,4065 9,4015 0,40027 0,40027 3,765139755 3,763138405 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-07 9,4255 9,4205 0,40064 0,40064 3,77623232 3,77422912 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-08 9,3965 9,3915 0,40005 0,40005 3,759069825 3,757069575 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-12 9,4315 9,4265 0,40193 0,40193 3,790802795 3,788793145 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-13 9,4295 9,4245 0,40237 0,40237 3,794147915 3,792136065 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-14 9,4365 9,4315 0,40195 0,40195 3,793001175 3,790991425 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-15 9,4345 9,4295 0,40161 0,40161 3,788989545 3,786981495 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-16 9,4765 9,4715 0,40031 0,40031 3,793537715 3,791536165 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-19 9,4535 9,4485 0,39936 0,39936 3,77534976 3,77335296 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-20 9,4015 9,3965 0,40035 0,40035 3,763890525 3,761888775 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-21 9,4485 9,4435 0,40155 0,40155 3,794045175 3,792037425 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-22 9,4365 9,4315 0,40325 0,40325 3,805268625 3,803252375 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-23 9,4425 9,4375 0,40332 0,40332 3,8083491 3,8063325 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-27 9,4915 9,4865 0,40354 0,40354 3,83019991 3,82818221 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-28 9,4345 9,4295 0,40491 0,40491 3,820123395 3,818098845 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-29 9,4115 9,4065 0,4061 0,4061 3,82201015 3,81997965 466094 Sampo Fondbolag Ab Mandatum Baltic EUR 2005-12-30 9,4325 9,4275 0,40777 0,40777 3,846290525 3,844251675 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-03 9,0065 9,0015 12,97641 12,97641 116,872036665 116,807154615 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-04 9,0345 9,0295 12,82734 12,82734 115,88860323 115,82446653 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-05 9,0615 9,0565 13,05417 13,05417 118,290361455 118,225090605 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-07 9,0615 9,0565 13,12056 13,12056 118,89195444 118,82635164 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-10 9,08619 9,08119 13,3094 13,3094 120,931737186 120,865190186 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-11 9,08619 9,08119 12,991 12,991 118,03869429 117,97373929 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-12 9,0455 9,0405 13,12337 13,12337 118,707443335 118,641826485 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-13 9,0505 9,0455 12,7946 12,7946 115,7975273 115,7335543 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-14 9,0455 9,0405 13,01696 13,01696 117,74491168 117,67982688 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-17 9,0685 9,0635 13,02036 13,02036 118,07513466 118,01003286 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-18 9,0585 9,0535 13,24819 13,24819 120,008729115 119,942488165 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-19 9,0225 9,0175 13,07324 13,07324 117,9533079 117,8879417 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-20 9,0315 9,0265 13,07978 13,07978 118,13003307 118,06463417 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-21 9,0505 9,0455 12,98678 12,98678 117,53685239 117,47191849 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-24 9,0655 9,0605 12,59015 12,59015 114,136004825 114,073054075 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-25 9,0715 9,0665 12,6219 12,6219 114,49956585 114,43645635 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-26 9,0885 9,0835 12,90254 12,90254 117,26473479 117,20022209 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-27 9,0675 9,0625 12,84963 12,84963 116,514020025 116,449771875 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-28 9,0955 9,0905 12,70061 12,70061 115,518398255 115,454895205 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-01-31 9,1075 9,1025 12,87569 12,87569 117,265346675 117,200968225 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-01 9,1035 9,0985 12,98635 12,98635 118,221237225 118,156305475 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-02 9,0905 9,0855 12,93187 12,93187 117,557164235 117,492504885 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-03 9,0695 9,0645 12,92975 12,92975 117,266367625 117,201718875 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-04 9,0895 9,0845 13,29038 13,29038 120,80290901 120,73645711 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-07 9,0755 9,0705 13,34327 13,34327 121,096846885 121,030130535 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-08 9,0895 9,0845 13,35944 13,35944 121,43062988 121,36383268 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-09 9,0695 9,0645 12,96933 12,96933 117,625338435 117,560491785 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-10 9,0805 9,0755 12,92368 12,92368 117,35347624 117,28885784 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-11 9,0935 9,0885 13,07771 13,07771 118,922155885 118,856767335 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-14 9,1105 9,1055 12,93778 12,93778 117,86964469 117,80495579 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-15 9,0765 9,0715 12,94568 12,94568 117,50146452 117,43673612 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-16 9,0705 9,0655 12,93033 12,93033 117,284558265 117,219906615 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-17 9,0925 9,0875 12,84564 12,84564 116,7989817 116,7347535 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-18 9,0945 9,0895 12,84828 12,84828 116,84868246 116,78444106 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-21 9,1185 9,1135 12,84555 12,84555 117,132147675 117,067919925 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-22 9,0975 9,0925 12,41668 12,41668 112,9607463 112,8986629 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-23 9,1045 9,0995 12,50526 12,50526 113,85413967 113,79161337 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-24 9,0715 9,0665 12,576 12,576 114,083184 114,020304 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-25 9,0845 9,0795 12,87185 12,87185 116,934321325 116,869962075 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-02-28 9,0505 9,0455 11,59826 11,59826 104,97005213 104,91206083 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-01 9,0565 9,0515 11,70162 11,70162 105,97572153 105,91721343 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-02 9,0645 9,0595 11,77091 11,77091 106,697413695 106,638559145 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-03 9,0675 9,0625 11,59105 11,59105 105,101845875 105,043890625 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-04 9,0415 9,0365 11,38512 11,38512 102,93856248 102,88163688 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-07 9,0425 9,0375 11,2922 11,2922 102,1097185 102,0532575 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-08 9,0345 9,0295 11,18508 11,18508 101,05160526 100,99567986 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-09 9,0365 9,0315 11,01336 11,01336 99,52222764 99,46716084 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-10 9,0655 9,0605 10,986 10,986 99,593583 99,538653 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-11 9,0795 9,0745 10,89882 10,89882 98,95583619 98,90134209 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-14 9,0695 9,0645 11,3083 11,3083 102,56062685 102,50408535 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-15 9,1035 9,0985 11,12931 11,12931 101,315673585 101,260027035 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-16 9,0975 9,0925 10,97707 10,97707 99,863894325 99,809008975 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-17 9,1045 9,0995 11,0328 11,0328 100,4481276 100,3929636 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-18 9,1035 9,0985 11,10732 11,10732 101,11548762 101,05995102 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-21 9,1265 9,1215 11,20686 11,20686 102,27940779 102,22337349 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-22 9,1265 9,1215 11,16412 11,16412 101,88934118 101,83352058 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-23 9,1165 9,1115 11,37577 11,37577 103,707207205 103,650328355 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-24 9,1135 9,1085 11,30867 11,30867 103,061564045 103,005020695 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-29 9,1315 9,1265 11,11271 11,11271 101,475711365 101,420147815 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-30 9,1425 9,1375 11,22216 11,22216 102,5985978 102,542487 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-03-31 9,1405 9,1355 11,131 11,131 101,7429055 101,6872505 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-01 9,1645 9,1595 11,00819 11,00819 100,884557255 100,829516305 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-04 9,1695 9,1645 11,00942 11,00942 100,95087669 100,89582959 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-05 9,1745 9,1695 11,18928 11,18928 102,65604936 102,60010296 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-06 9,1705 9,1655 11,32463 11,32463 103,852519415 103,795896265 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-07 9,1505 9,1455 11,55309 11,55309 105,716550045 105,658784595 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-08 9,1625 9,1575 11,50334 11,50334 105,39935275 105,34183605 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-11 9,1705 9,1655 11,42636 11,42636 104,78543438 104,72830258 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-12 9,1525 9,1475 11,54257 11,54257 105,643371925 105,585659075 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-13 9,1495 9,1445 11,46618 11,46618 104,90981391 104,85248301 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-14 9,1685 9,1635 11,40675 11,40675 104,582787375 104,525753625 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-15 9,1925 9,1875 11,50916 11,50916 105,7979533 105,7404075 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-18 9,1805 9,1755 11,32767 11,32767 103,993674435 103,937036085 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-19 9,2035 9,1985 11,43953 11,43953 105,283714355 105,226516705 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-20 9,1915 9,1865 11,37218 11,37218 104,52739247 104,47053157 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-21 9,1855 9,1805 11,51949 11,51949 105,812275395 105,754677945 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-22 9,1625 9,1575 11,50332 11,50332 105,3991695 105,3416529 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-25 9,1685 9,1635 11,61406 11,61406 106,48350911 106,42543881 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-26 9,1375 9,1325 11,64383 11,64383 106,395496625 106,337277475 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-27 9,1465 9,1415 11,60584 11,60584 106,15281556 106,09478636 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-28 9,1505 9,1455 11,38949 11,38949 104,219528245 104,162580795 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-04-29 9,1705 9,1655 11,4157 11,4157 104,68767685 104,63059835 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-02 9,1935 9,1885 11,55942 11,55942 106,27152777 106,21373067 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-03 9,2245 9,2195 11,65515 11,65515 107,512931175 107,454655425 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-04 9,1915 9,1865 11,78125 11,78125 108,287359375 108,228453125 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-06 9,1715 9,1665 11,81464 11,81464 108,35797076 108,29889756 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-09 9,1815 9,1765 12,07823 12,07823 110,896268745 110,835877595 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-10 9,1985 9,1935 12,17392 12,17392 111,98180312 111,92093352 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-11 9,2105 9,2055 12,17184 12,17184 112,10873232 112,04787312 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-12 9,2315 9,2265 12,21639 12,21639 112,775604285 112,714522335 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-13 9,2045 9,1995 12,26257 12,26257 112,870825565 112,809512715 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-16 9,2145 9,2095 12,38032 12,38032 114,07845864 114,01655704 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-17 9,2325 9,2275 12,2898 12,2898 113,4655785 113,4041295 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-18 9,2095 9,2045 12,46796 12,46796 114,82367762 114,76133782 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-19 9,1905 9,1855 12,53455 12,53455 115,198781775 115,136109025 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-20 9,1955 9,1905 12,47253 12,47253 114,691149615 114,628786965 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-23 9,1805 9,1755 12,58548 12,58548 115,54099914 115,47807174 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-24 9,1815 9,1765 12,49385 12,49385 114,712283775 114,649814525 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-25 9,1785 9,1735 12,43568 12,43568 114,14088888 114,07871048 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-26 9,1945 9,1895 12,5582 12,5582 115,4663699 115,4035789 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-27 9,1955 9,1905 12,60425 12,60425 115,902380875 115,839359625 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-30 9,1905 9,1855 12,63478 12,63478 116,11994559 116,05677169 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-05-31 9,1665 9,1615 12,68391 12,68391 116,267061015 116,203641465 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-01 9,1455 9,1405 12,85086 12,85086 117,52754013 117,46328583 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-02 9,1565 9,1515 12,86567 12,86567 117,804507355 117,740179005 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-03 9,1315 9,1265 12,60757 12,60757 115,126025455 115,062987605 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-07 9,1455 9,1405 12,32948 12,32948 112,75925934 112,69761194 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-08 9,1455 9,1405 12,25636 12,25636 112,09054038 112,02925858 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-09 9,1965 9,1915 12,57632 12,57632 115,65812688 115,59524528 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-10 9,1975 9,1925 12,54187 12,54187 115,353849325 115,291139975 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-13 9,2365 9,2315 12,79107 12,79107 118,144718055 118,080762705 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-14 9,2985 9,2935 12,71855 12,71855 118,263437175 118,199844425 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-15 9,2695 9,2645 12,76368 12,76368 118,31293176 118,24911336 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-16 9,2695 9,2645 13,34215 13,34215 123,675059425 123,608348675 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-17 9,2695 9,2645 13,4716 13,4716 124,8749962 124,8076382 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-20 9,2255 9,2205 13,42951 13,42951 123,893944505 123,826796955 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-21 9,2725 9,2675 13,4233 13,4233 124,46754925 124,40043275 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-22 9,2615 9,2565 13,32407 13,32407 123,400874305 123,334253955 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-23 9,3535 9,3485 13,28341 13,28341 124,246375435 124,179958385 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-27 9,3855 9,3805 13,07258 13,07258 122,69269959 122,62733669 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-28 9,3995 9,3945 13,43879 13,43879 126,317906605 126,250712655 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-29 9,4215 9,4165 13,47026 13,47026 126,91005459 126,84270329 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-06-30 9,4415 9,4365 13,43231 13,43231 126,821154865 126,753993315 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-01 9,4595 9,4545 13,49661 13,49661 127,671182295 127,603699245 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-04 9,4795 9,4745 13,69971 13,69971 129,866400945 129,797902395 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-05 9,4575 9,4525 13,86338 13,86338 131,11291635 131,04359945 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-06 9,4195 9,4145 13,88643 13,88643 130,803227385 130,733795235 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-07 9,3965 9,3915 13,96396 13,96396 131,21235014 131,14253034 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-08 9,4175 9,4125 14,45932 14,45932 136,1706461 136,0983495 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-11 9,4665 9,4615 14,34613 14,34613 135,807639645 135,735908995 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-12 9,4645 9,4595 14,11336 14,11336 133,57589572 133,50532892 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-13 9,3915 9,3865 14,06557 14,06557 132,096800655 132,026472805 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-14 9,3675 9,3625 14,48234 14,48234 135,66331995 135,59090825 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-15 9,4055 9,4005 14,70677 14,70677 138,324525235 138,250991385 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-18 9,3895 9,3845 14,66046 14,66046 137,65438917 137,58108687 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-19 9,4425 9,4375 14,79481 14,79481 139,699993425 139,626019375 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-20 9,4265 9,4215 14,97615 14,97615 141,172677975 141,097797225 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-21 9,4625 9,4575 14,88014 14,88014 140,80332475 140,72892405 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-22 9,4495 9,4445 14,74149 14,74149 139,299709755 139,226002305 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-25 9,4275 9,4225 14,57166 14,57166 137,37432465 137,30146635 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-26 9,4155 9,4105 14,89837 14,89837 140,275602735 140,201110885 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-27 9,4725 9,4675 14,97308 14,97308 141,8325003 141,7576349 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-28 9,4515 9,4465 15,09201 15,09201 142,642132515 142,566672465 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-07-29 9,3885 9,3835 15,05217 15,05217 141,317298045 141,242037195 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-01 9,3985 9,3935 15,04226 15,04226 141,37468061 141,29946931 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-02 9,3995 9,3945 15,23903 15,23903 143,239262485 143,163067335 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-03 9,3755 9,3705 15,14094 15,14094 141,95388297 141,87817827 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-04 9,3735 9,3685 14,77982 14,77982 138,53864277 138,46474367 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-05 9,3355 9,3305 14,48722 14,48722 135,24544231 135,17300621 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-08 9,3335 9,3285 14,25151 14,25151 133,016468585 132,945211035 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-09 9,3455 9,3405 14,35858 14,35858 134,18810939 134,11631649 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-10 9,3535 9,3485 14,31334 14,31334 133,87982569 133,80825899 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-11 9,3365 9,3315 14,44352 14,44352 134,85192448 134,77970688 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-12 9,3025 9,2975 14,23589 14,23589 132,429366725 132,358187275 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-15 9,3065 9,3015 14,40721 14,40721 134,080699865 134,008663815 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-16 9,2995 9,2945 14,30646 14,30646 133,04292477 132,97139247 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-17 9,3405 9,3355 14,25651 14,25651 133,162931655 133,091649105 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-18 9,3365 9,3315 14,30059 14,30059 133,517458535 133,445955585 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-19 9,3395 9,3345 14,35862 14,35862 134,10233149 134,03053839 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-22 9,3655 9,3605 14,34856 14,34856 134,38143868 134,30969588 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-23 9,3715 9,3665 14,30801 14,30801 134,087515715 134,015975665 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-24 9,3365 9,3315 14,28338 14,28338 133,35677737 133,28536047 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-25 9,3335 9,3285 14,2765 14,2765 133,24971275 133,17833025 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-26 9,3415 9,3365 14,13834 14,13834 132,07330311 132,00261141 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-29 9,3295 9,3245 14,32263 14,32263 133,622976585 133,551363435 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-30 9,3285 9,3235 14,36794 14,36794 134,03132829 133,95948859 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-08-31 9,3585 9,3535 14,69233 14,69233 137,498170305 137,424708655 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-01 9,3365 9,3315 14,64287 14,64287 136,713155755 136,639941405 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-02 9,3025 9,2975 14,33936 14,33936 133,3918964 133,3201996 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-05 9,2845 9,2795 14,34348 14,34348 133,17204006 133,10032266 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-06 9,3225 9,3175 14,70481 14,70481 137,085591225 137,012067175 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-07 9,3075 9,3025 14,84508 14,84508 138,1705821 138,0963567 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-08 9,3255 9,3205 14,80789 14,80789 138,090978195 138,016938745 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-09 9,3445 9,3395 14,87189 14,87189 138,970376105 138,896016655 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-12 9,3015 9,2965 15,0857 15,0857 140,31963855 140,24421005 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-13 9,3015 9,2965 14,95691 14,95691 139,121698365 139,046913815 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-14 9,3365 9,3315 14,83109 14,83109 138,470471785 138,396316335 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-15 9,3425 9,3375 14,87605 14,87605 138,979497125 138,905116875 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-16 9,3465 9,3415 14,92809 14,92809 139,525393185 139,450752735 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-19 9,3355 9,3305 14,90754 14,90754 139,16933967 139,09480197 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-20 9,3395 9,3345 14,91174 14,91174 139,26819573 139,19363703 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-21 9,3405 9,3355 14,56197 14,56197 136,016080785 135,943270935 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-22 9,3405 9,3355 14,4702 14,4702 135,1589031 135,0865521 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-23 9,3695 9,3645 14,52563 14,52563 136,097890285 136,025262135 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-26 9,3815 9,3765 14,67883 14,67883 137,709443645 137,636049495 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-27 9,3885 9,3835 14,58203 14,58203 136,903388655 136,830478505 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-28 9,3935 9,3885 14,62249 14,62249 137,356359815 137,283247365 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-29 9,3845 9,3795 14,71169 14,71169 138,061854805 137,988296355 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-09-30 9,3435 9,3385 14,86056 14,86056 138,84964236 138,77533956 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-03 9,3025 9,2975 15,1286 15,1286 140,7338015 140,6581585 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-04 9,3185 9,3135 15,11506 15,11506 140,84968661 140,77411131 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-05 9,3105 9,3055 14,68362 14,68362 136,71184401 136,63842591 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-06 9,3015 9,2965 14,19604 14,19604 132,04446606 131,97348586 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-07 9,3385 9,3335 14,09518 14,09518 131,62783843 131,55736253 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-10 9,3465 9,3415 14,07508 14,07508 131,55273522 131,48235982 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-11 9,3395 9,3345 13,88976 13,88976 129,72341352 129,65396472 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-12 9,3375 9,3325 13,55741 13,55741 126,592315875 126,524528825 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-13 9,3815 9,3765 13,86243 13,86243 130,050387045 129,981074895 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-14 9,4135 9,4085 14,25465 14,25465 134,186147775 134,114874525 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-17 9,4575 9,4525 14,0947 14,0947 133,30062525 133,23015175 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-18 9,4625 9,4575 14,1299 14,1299 133,70417875 133,63352925 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-19 9,4605 9,4555 14,27938 14,27938 135,09007449 135,01867759 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-20 9,4935 9,4885 14,01228 14,01228 133,02558018 132,95551878 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-21 9,4915 9,4865 13,9925 13,9925 132,80981375 132,73985125 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-24 9,5455 9,5405 14,43399 14,43399 137,779651545 137,707481595 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-25 9,5465 9,5415 14,31752 14,31752 136,68220468 136,61061708 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-26 9,4975 9,4925 14,1673 14,1673 134,55393175 134,48309525 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-27 9,5355 9,5305 13,87976 13,87976 132,35045148 132,28105268 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-28 9,5135 9,5085 13,93876 13,93876 132,60639326 132,53669946 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-10-31 9,5495 9,5445 14,43691 14,43691 137,865272045 137,793087495 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-01 9,5495 9,5445 13,84832 13,84832 132,24453184 132,17529024 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-02 9,5855 9,5805 13,95398 13,95398 133,75587529 133,68610539 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-03 9,6515 9,6465 14,32933 14,32933 138,299528495 138,227881845 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-04 9,5875 9,5825 14,55214 14,55214 139,51864225 139,44588155 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-07 9,6075 9,6025 14,73875 14,73875 141,602540625 141,528846875 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-08 9,5685 9,5635 14,89886 14,89886 142,55974191 142,48524761 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-09 9,5575 9,5525 14,84784 14,84784 141,9082308 141,8339916 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-10 9,6105 9,6055 14,96772 14,96772 143,84727306 143,77243446 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-11 9,6365 9,6315 15,11026 15,11026 145,61002049 145,53446919 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-14 9,5505 9,5455 15,02228 15,02228 143,47028514 143,39517374 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-15 9,5805 9,5755 15,07914 15,07914 144,46570077 144,39030507 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-16 9,6235 9,6185 15,11058 15,11058 145,41666663 145,34111373 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-17 9,6355 9,6305 15,29216 15,29216 147,34760768 147,27114688 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-18 9,6085 9,6035 15,40888 15,40888 148,05622348 147,97917908 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-21 9,5915 9,5865 15,32998 15,32998 147,03750317 146,96085327 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-22 9,5585 9,5535 15,43582 15,43582 147,54328547 147,46610637 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-23 9,5155 9,5105 15,06364 15,06364 143,33806642 143,26274822 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-24 9,5125 9,5075 15,03344 15,03344 143,005598 142,9304308 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-25 9,4965 9,4915 15,06334 15,06334 143,04900831 142,97369161 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-28 9,4835 9,4785 14,73599 14,73599 139,748761165 139,675081215 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-29 9,4785 9,4735 14,45853 14,45853 137,045176605 136,972883955 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-11-30 9,5295 9,5245 14,66745 14,66745 139,773464775 139,700127525 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-01 9,5165 9,5115 14,55481 14,55481 138,510849365 138,438075315 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-02 9,4905 9,4855 14,65928 14,65928 139,12389684 139,05060044 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-05 9,4065 9,4015 14,57643 14,57643 137,113188795 137,040306645 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-07 9,4255 9,4205 14,34826 14,34826 135,23952463 135,16778333 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-08 9,3965 9,3915 14,43951 14,43951 135,680855715 135,608658165 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-12 9,4315 9,4265 14,30769 14,30769 134,942978235 134,871439785 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-13 9,4295 9,4245 14,326 14,326 135,087017 135,015387 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-14 9,4365 9,4315 13,95365 13,95365 131,673618225 131,603849975 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-15 9,4345 9,4295 14,40518 14,40518 135,90567071 135,83364481 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-16 9,4765 9,4715 14,30261 14,30261 135,538683665 135,467170615 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-19 9,4535 9,4485 13,99296 13,99296 132,28244736 132,21248256 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-20 9,4015 9,3965 14,10536 14,10536 132,61154204 132,54101524 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-21 9,4485 9,4435 14,53246 14,53246 137,30994831 137,23728601 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-22 9,4365 9,4315 14,78068 14,78068 139,47788682 139,40398342 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-23 9,4425 9,4375 14,78063 14,78063 139,566098775 139,492195625 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-27 9,4915 9,4865 14,56047 14,56047 138,200701005 138,127898655 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-28 9,4345 9,4295 14,52083 14,52083 136,996770635 136,924166485 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-29 9,4115 9,4065 14,5341 14,5341 136,78768215 136,71501165 821975 Sampo Fondbolag Ab Mandatum Biotech+ EUR 2005-12-30 9,4325 9,4275 14,51401 14,51401 136,903399325 136,830829275 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-08-18 9,3365 9,3315 1,15214 1,15214 10,75695511 10,75119441 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-08-19 9,3395 9,3345 1,15988 1,15988 10,83269926 10,82689986 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-08-22 9,3655 9,3605 1,16916 1,16916 10,94976798 10,94392218 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-08-23 9,3715 9,3665 1,14001 1,14001 10,683603715 10,677903665 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-08-24 9,3365 9,3315 1,14074 1,14074 10,65051901 10,64481531 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-08-25 9,3335 9,3285 1,1328 1,1328 10,5729888 10,5673248 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-08-26 9,3415 9,3365 1,1312 1,1312 10,5671048 10,5614488 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-08-29 9,3295 9,3245 1,13548 1,13548 10,59346066 10,58778326 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-08-30 9,3285 9,3235 1,13317 1,13317 10,570776345 10,565110495 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-08-31 9,3585 9,3535 1,15316 1,15316 10,79184786 10,78608206 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-01 9,3365 9,3315 1,14298 1,14298 10,67143277 10,66571787 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-02 9,3025 9,2975 1,1237 1,1237 10,45321925 10,44760075 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-05 9,2845 9,2795 1,12611 1,12611 10,455368295 10,449737745 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-06 9,3225 9,3175 1,13005 1,13005 10,534891125 10,529240875 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-07 9,3075 9,3025 1,12803 1,12803 10,499139225 10,493499075 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-08 9,3255 9,3205 1,12588 1,12588 10,49939394 10,49376454 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-09 9,3445 9,3395 1,13834 1,13834 10,63721813 10,63152643 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-12 9,3015 9,2965 1,14486 1,14486 10,64891529 10,64319099 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-13 9,3015 9,2965 1,13831 1,13831 10,587990465 10,582298915 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-14 9,3365 9,3315 1,14008 1,14008 10,64435692 10,63865652 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-15 9,3425 9,3375 1,14164 1,14164 10,6657717 10,6600635 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-16 9,3465 9,3415 1,13858 1,13858 10,64173797 10,63604507 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-19 9,3355 9,3305 1,16022 1,16022 10,83123381 10,82543271 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-20 9,3395 9,3345 1,16134 1,16134 10,84633493 10,84052823 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-21 9,3405 9,3355 1,15739 1,15739 10,810601295 10,804814345 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-22 9,3405 9,3355 1,14433 1,14433 10,688614365 10,682892715 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-23 9,3695 9,3645 1,14976 1,14976 10,77267632 10,76692752 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-26 9,3815 9,3765 1,16093 1,16093 10,891264795 10,885460145 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-27 9,3885 9,3835 1,16688 1,16688 10,95525288 10,94941848 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-28 9,3935 9,3885 1,18233 1,18233 11,106216855 11,100305205 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-29 9,3845 9,3795 1,19783 1,19783 11,241035635 11,235046485 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-09-30 9,3435 9,3385 1,20068 1,20068 11,21855358 11,21255018 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-03 9,3025 9,2975 1,2184 1,2184 11,334166 11,328074 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-04 9,3185 9,3135 1,19818 1,19818 11,16524033 11,15924943 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-05 9,3105 9,3055 1,16766 1,16766 10,87149843 10,86566013 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-06 9,3015 9,2965 1,15674 1,15674 10,75941711 10,75363341 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-07 9,3385 9,3335 1,15062 1,15062 10,74506487 10,73931177 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-10 9,3465 9,3415 1,15671 1,15671 10,811190015 10,805406465 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-11 9,3395 9,3345 1,15624 1,15624 10,79870348 10,79292228 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-12 9,3375 9,3325 1,14265 1,14265 10,669494375 10,663781125 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-13 9,3815 9,3765 1,12797 1,12797 10,582050555 10,576410705 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-14 9,4135 9,4085 1,13056 1,13056 10,64252656 10,63687376 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-17 9,4575 9,4525 1,13689 1,13689 10,752137175 10,746452725 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-18 9,4625 9,4575 1,12543 1,12543 10,649381375 10,643754225 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-19 9,4605 9,4555 1,12326 1,12326 10,62660123 10,62098493 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-20 9,4935 9,4885 1,10878 1,10878 10,52620293 10,52065903 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-21 9,4915 9,4865 1,09781 1,09781 10,419863615 10,414374565 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-24 9,5455 9,5405 1,10691 1,10691 10,566009405 10,560474855 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-25 9,5465 9,5415 1,09778 1,09778 10,47995677 10,47446787 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-26 9,4975 9,4925 1,08491 1,08491 10,303932725 10,298508175 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-27 9,5355 9,5305 1,0609 1,0609 10,11621195 10,11090745 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-28 9,5135 9,5085 1,07772 1,07772 10,25288922 10,24750062 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-10-31 9,5495 9,5445 1,10792 1,10792 10,58008204 10,57454244 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-01 9,5495 9,5445 1,11695 1,11695 10,666314025 10,660729275 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-02 9,5855 9,5805 1,12753 1,12753 10,807938815 10,802301165 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-03 9,6515 9,6465 1,12086 1,12086 10,81798029 10,81237599 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-04 9,5875 9,5825 1,11668 1,11668 10,7061695 10,7005861 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-07 9,6075 9,6025 1,12587 1,12587 10,816796025 10,811166675 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-08 9,5685 9,5635 1,14778 1,14778 10,98253293 10,97679403 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-09 9,5575 9,5525 1,14296 1,14296 10,9238402 10,9181254 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-10 9,6105 9,6055 1,15294 1,15294 11,08032987 11,07456517 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-11 9,6365 9,6315 1,1568 1,1568 11,1475032 11,1417192 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-14 9,5505 9,5455 1,14987 1,14987 10,981833435 10,976084085 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-15 9,5805 9,5755 1,16107 1,16107 11,123631135 11,117825785 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-16 9,6235 9,6185 1,16314 1,16314 11,19347779 11,18766209 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-17 9,6355 9,6305 1,1771 1,1771 11,34194705 11,33606155 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-18 9,6085 9,6035 1,18127 1,18127 11,350232795 11,344326445 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-21 9,5915 9,5865 1,16537 1,16537 11,177646355 11,171819505 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-22 9,5585 9,5535 1,19185 1,19185 11,392298225 11,386338975 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-23 9,5155 9,5105 1,1863 1,1863 11,28823765 11,28230615 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-24 9,5125 9,5075 1,18393 1,18393 11,262134125 11,256214475 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-25 9,4965 9,4915 1,19455 1,19455 11,344044075 11,338071325 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-28 9,4835 9,4785 1,18414 1,18414 11,22979169 11,22387099 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-29 9,4785 9,4735 1,18244 1,18244 11,20775754 11,20184534 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-11-30 9,5295 9,5245 1,18238 1,18238 11,26749021 11,26157831 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-01 9,5165 9,5115 1,20226 1,20226 11,44130729 11,43529599 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-02 9,4905 9,4855 1,21378 1,21378 11,51937909 11,51331019 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-05 9,4065 9,4015 1,20357 1,20357 11,321381205 11,315363355 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-07 9,4255 9,4205 1,21154 1,21154 11,41937027 11,41331257 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-08 9,3965 9,3915 1,20588 1,20588 11,33105142 11,32502202 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-12 9,4315 9,4265 1,19915 1,19915 11,309783225 11,303787475 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-13 9,4295 9,4245 1,19397 1,19397 11,258540115 11,252570265 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-14 9,4365 9,4315 1,18709 1,18709 11,201974785 11,196039335 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-15 9,4345 9,4295 1,18138 1,18138 11,14572961 11,13982271 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-16 9,4765 9,4715 1,19975 1,19975 11,369430875 11,363432125 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-19 9,4535 9,4485 1,19826 1,19826 11,32775091 11,32175961 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-20 9,4015 9,3965 1,20669 1,20669 11,344696035 11,338662585 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-21 9,4485 9,4435 1,20908 1,20908 11,42399238 11,41794698 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-22 9,4365 9,4315 1,21696 1,21696 11,48384304 11,47775824 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-23 9,4425 9,4375 1,21676 1,21676 11,4892563 11,4831725 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-27 9,4915 9,4865 1,21372 1,21372 11,52002338 11,51395478 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-28 9,4345 9,4295 1,21445 1,21445 11,457728525 11,451656275 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-29 9,4115 9,4065 1,20883 1,20883 11,376903545 11,370859395 430264 Sampo Fondbolag Ab Mandatum China EUR 2005-12-30 9,4325 9,4275 1,21114 1,21114 11,42407805 11,41802235 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-03 9,0065 9,0015 19,72183 19,72183 177,624661895 177,526052745 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-04 9,0345 9,0295 19,88303 19,88303 179,633234535 179,533819385 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-05 9,0615 9,0565 19,89387 19,89387 180,268303005 180,168833655 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-07 9,0615 9,0565 19,90099 19,90099 180,332820885 180,233315935 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-10 9,08619 9,08119 20,06024 20,06024 182,2711520856 182,1708508856 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-11 9,08619 9,08119 20,05196 20,05196 182,1959184324 182,0956586324 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-12 9,0455 9,0405 20,28038 20,28038 183,44617729 183,34477539 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-13 9,0505 9,0455 20,40858 20,40858 184,70785329 184,60581039 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-14 9,0455 9,0405 20,7309 20,7309 187,52135595 187,41770145 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-17 9,0685 9,0635 20,74196 20,74196 188,09846426 187,99475446 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-18 9,0585 9,0535 20,7409 20,7409 187,88144265 187,77773815 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-19 9,0225 9,0175 20,67729 20,67729 186,560849025 186,457462575 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-20 9,0315 9,0265 20,97575 20,97575 189,442486125 189,337607375 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-21 9,0505 9,0455 20,91388 20,91388 189,28107094 189,17650154 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-24 9,0655 9,0605 20,7801 20,7801 188,38199655 188,27809605 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-25 9,0715 9,0665 20,93771 20,93771 189,936436265 189,831747715 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-26 9,0885 9,0835 20,97552 20,97552 190,63601352 190,53113592 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-27 9,0675 9,0625 20,91476 20,91476 189,6445863 189,5400125 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-28 9,0955 9,0905 21,05153 21,05153 191,474191115 191,368933465 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-01-31 9,1075 9,1025 21,00256 21,00256 191,2808152 191,1758024 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-01 9,1035 9,0985 21,04194 21,04194 191,55530079 191,45009109 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-02 9,0905 9,0855 21,15746 21,15746 192,33189013 192,22610283 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-03 9,0695 9,0645 21,39542 21,39542 194,04576169 193,93878459 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-04 9,0895 9,0845 21,60293 21,60293 196,359832235 196,251817585 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-07 9,0755 9,0705 21,7549 21,7549 197,43659495 197,32782045 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-08 9,0895 9,0845 21,86534 21,86534 198,74500793 198,63568123 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-09 9,0695 9,0645 21,73564 21,73564 197,13138698 197,02270878 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-10 9,0805 9,0755 21,7971 21,7971 197,92856655 197,81958105 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-11 9,0935 9,0885 21,95862 21,95862 199,68071097 199,57091787 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-14 9,1105 9,1055 21,90269 21,90269 199,544457245 199,434943795 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-15 9,0765 9,0715 21,91145 21,91145 198,879275925 198,769718675 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-16 9,0705 9,0655 21,81813 21,81813 197,901348165 197,792257515 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-17 9,0925 9,0875 21,94594 21,94594 199,54345945 199,43372975 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-18 9,0945 9,0895 22,10293 22,10293 201,015096885 200,904582235 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-21 9,1185 9,1135 21,9193 21,9193 199,87113705 199,76154055 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-22 9,0975 9,0925 21,49206 21,49206 195,52401585 195,41655555 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-23 9,1045 9,0995 21,7071 21,7071 197,63229195 197,52375645 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-24 9,0715 9,0665 21,74825 21,74825 197,289249875 197,180508625 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-25 9,0845 9,0795 21,82755 21,82755 198,292377975 198,183240225 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-02-28 9,0505 9,0455 21,8586 21,8586 197,8312593 197,7219663 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-01 9,0565 9,0515 22,03187 22,03187 199,531630655 199,421471305 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-02 9,0645 9,0595 22,17805 22,17805 201,032934225 200,922043975 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-03 9,0675 9,0625 22,19275 22,19275 201,232760625 201,121796875 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-04 9,0415 9,0365 22,29945 22,29945 201,620477175 201,508979925 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-07 9,0425 9,0375 22,31688 22,31688 201,8003874 201,688803 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-08 9,0345 9,0295 22,06379 22,06379 199,335310755 199,224991805 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-09 9,0365 9,0315 21,74911 21,74911 196,535832515 196,427086965 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-10 9,0655 9,0605 21,79864 21,79864 197,61557092 197,50657772 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-11 9,0795 9,0745 21,80517 21,80517 197,980041015 197,871015165 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-14 9,0695 9,0645 21,42346 21,42346 194,30007047 194,19295317 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-15 9,1035 9,0985 21,38182 21,38182 194,64939837 194,54248927 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-16 9,0975 9,0925 21,29146 21,29146 193,69905735 193,59260005 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-17 9,1045 9,0995 21,36673 21,36673 194,533393285 194,426559635 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-18 9,1035 9,0985 21,46565 21,46565 195,412544775 195,305216525 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-21 9,1265 9,1215 21,45957 21,45957 195,850765605 195,743467755 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-22 9,1265 9,1215 21,32367 21,32367 194,610474255 194,503855905 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-23 9,1165 9,1115 21,49553 21,49553 195,963999245 195,856521595 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-24 9,1135 9,1085 21,46369 21,46369 195,609338815 195,502020365 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-29 9,1315 9,1265 21,29637 21,29637 194,467802655 194,361320805 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-30 9,1425 9,1375 21,33712 21,33712 195,0746196 194,967934 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-03-31 9,1405 9,1355 21,47268 21,47268 196,27103154 196,16366814 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-01 9,1645 9,1595 21,68566 21,68566 198,73823107 198,62980277 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-04 9,1695 9,1645 21,74624 21,74624 199,40214768 199,29341648 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-05 9,1745 9,1695 21,89681 21,89681 200,892283345 200,782799295 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-06 9,1705 9,1655 21,75874 21,75874 199,53852517 199,42973147 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-07 9,1505 9,1455 21,80589 21,80589 199,534796445 199,425766995 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-08 9,1625 9,1575 21,81087 21,81087 199,842096375 199,733042025 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-11 9,1705 9,1655 21,6463 21,6463 198,50739415 198,39916265 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-12 9,1525 9,1475 21,65831 21,65831 198,227682275 198,119390725 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-13 9,1495 9,1445 21,57174 21,57174 197,37063513 197,26277643 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-14 9,1685 9,1635 21,32186 21,32186 195,48947341 195,38286411 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-15 9,1925 9,1875 20,83749 20,83749 191,548626825 191,444439375 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-18 9,1805 9,1755 20,74514 20,74514 190,45075777 190,34703207 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-19 9,2035 9,1985 20,76819 20,76819 191,140036665 191,036195715 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-20 9,1915 9,1865 20,56513 20,56513 189,024392395 188,921566745 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-21 9,1855 9,1805 20,62097 20,62097 189,413919935 189,310815085 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-22 9,1625 9,1575 20,68897 20,68897 189,562687625 189,459242775 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-25 9,1685 9,1635 20,96163 20,96163 192,186704655 192,081896505 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-26 9,1375 9,1325 20,70615 20,70615 189,202445625 189,098914875 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-27 9,1465 9,1415 20,59038 20,59038 188,32991067 188,22695877 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-28 9,1505 9,1455 20,59038 20,59038 188,41227219 188,30932029 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-04-29 9,1705 9,1655 20,52561 20,52561 188,230106505 188,127478455 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-02 9,1935 9,1885 20,63505 20,63505 189,708332175 189,605156925 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-03 9,2245 9,2195 20,68505 20,68505 190,809243725 190,705818475 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-04 9,1915 9,1865 20,82335 20,82335 191,397821525 191,293704775 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-06 9,1715 9,1665 20,79527 20,79527 190,723818805 190,619842455 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-09 9,1815 9,1765 20,95455 20,95455 192,394200825 192,289428075 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-10 9,1985 9,1935 20,76738 20,76738 191,02874493 190,92490803 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-11 9,2105 9,2055 20,68364 20,68364 190,50666622 190,40324802 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-12 9,2315 9,2265 20,89965 20,89965 192,935118975 192,830620725 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-13 9,2045 9,1995 21,12069 21,12069 194,405391105 194,299787655 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-16 9,2145 9,2095 21,01175 21,01175 193,612770375 193,507711625 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-17 9,2325 9,2275 21,04086 21,04086 194,25973995 194,15453565 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-18 9,2095 9,2045 21,21455 21,21455 195,375398225 195,269325475 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-19 9,1905 9,1855 21,19375 21,19375 194,781159375 194,675190625 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-20 9,1955 9,1905 21,16298 21,16298 194,60418259 194,49836769 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-23 9,1805 9,1755 21,29708 21,29708 195,51784294 195,41135754 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-24 9,1815 9,1765 21,1199 21,1199 193,91236185 193,80676235 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-25 9,1785 9,1735 21,23456 21,23456 194,90140896 194,79523616 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-26 9,1945 9,1895 21,42287 21,42287 196,972578215 196,865463865 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-27 9,1955 9,1905 21,46119 21,46119 197,346372645 197,239066695 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-30 9,1905 9,1855 21,60294 21,60294 198,54182007 198,43380537 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-05-31 9,1665 9,1615 21,89455 21,89455 200,696392575 200,586919825 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-01 9,1455 9,1405 22,05439 22,05439 201,698423745 201,588151795 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-02 9,1565 9,1515 22,08223 22,08223 202,195938995 202,085527845 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-03 9,1315 9,1265 22,19692 22,19692 202,69117498 202,58019038 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-07 9,1455 9,1405 22,34414 22,34414 204,34833237 204,23661167 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-08 9,1455 9,1405 22,28833 22,28833 203,837922015 203,726480365 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-09 9,1965 9,1915 22,55195 22,55195 207,399008175 207,286248425 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-10 9,1975 9,1925 22,55257 22,55257 207,427262575 207,314499725 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-13 9,2365 9,2315 22,70198 22,70198 209,68683827 209,57332837 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-14 9,2985 9,2935 22,58816 22,58816 210,03600576 209,92306496 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-15 9,2695 9,2645 22,79694 22,79694 211,31623533 211,20225063 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-16 9,2695 9,2645 22,70196 22,70196 210,43581822 210,32230842 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-17 9,2695 9,2645 22,61472 22,61472 209,62714704 209,51407344 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-20 9,2255 9,2205 22,52181 22,52181 207,774958155 207,662349105 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-21 9,2725 9,2675 22,74551 22,74551 210,907741475 210,794013925 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-22 9,2615 9,2565 22,96721 22,96721 212,710815415 212,595979365 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-23 9,3535 9,3485 22,72299 22,72299 212,539486965 212,425872015 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-27 9,3855 9,3805 22,52505 22,52505 211,408856775 211,296231525 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-28 9,3995 9,3945 22,6389 22,6389 212,79434055 212,68114605 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-29 9,4215 9,4165 22,70089 22,70089 213,876435135 213,762930685 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-06-30 9,4415 9,4365 22,7121 22,7121 214,43629215 214,32273165 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-01 9,4595 9,4545 22,70243 22,70243 214,753636585 214,640124435 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-04 9,4795 9,4745 22,83844 22,83844 216,49699198 216,38279978 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-05 9,4575 9,4525 22,74375 22,74375 215,099015625 214,985296875 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-06 9,4195 9,4145 22,80919 22,80919 214,851165205 214,737119255 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-07 9,3965 9,3915 22,52737 22,52737 211,678432205 211,565795355 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-08 9,4175 9,4125 22,69252 22,69252 213,7068071 213,5933445 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-11 9,4665 9,4615 22,68917 22,68917 214,787027805 214,673581955 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-12 9,4645 9,4595 22,5398 22,5398 213,3279371 213,2152381 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-13 9,3915 9,3865 22,58306 22,58306 212,08880799 211,97589269 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-14 9,3675 9,3625 22,87604 22,87604 214,2913047 214,1769245 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-15 9,4055 9,4005 22,69297 22,69297 213,438729335 213,325264485 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-18 9,3895 9,3845 22,90884 22,90884 215,10255318 214,98800898 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-19 9,4425 9,4375 23,13873 23,13873 218,487458025 218,371764375 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-20 9,4265 9,4215 22,84256 22,84256 215,32539184 215,21117904 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-21 9,4625 9,4575 22,65914 22,65914 214,41211225 214,29881655 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-22 9,4495 9,4445 22,99897 22,99897 217,328767015 217,213772165 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-25 9,4275 9,4225 23,07862 23,07862 217,57369005 217,45829695 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-26 9,4155 9,4105 23,1286 23,1286 217,7673333 217,6516903 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-27 9,4725 9,4675 23,08266 23,08266 218,65049685 218,53508355 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-28 9,4515 9,4465 23,10005 23,10005 218,330122575 218,214622325 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-07-29 9,3885 9,3835 23,30414 23,30414 218,79091839 218,67439769 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-01 9,3985 9,3935 22,90202 22,90202 215,24463497 215,13012487 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-02 9,3995 9,3945 23,00567 23,00567 216,241795165 216,126766815 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-03 9,3755 9,3705 22,78898 22,78898 213,65808199 213,54413709 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-04 9,3735 9,3685 22,55338 22,55338 211,40410743 211,29134053 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-05 9,3355 9,3305 22,44687 22,44687 209,552754885 209,440520535 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-08 9,3335 9,3285 22,43512 22,43512 209,39819252 209,28601692 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-09 9,3455 9,3405 22,51853 22,51853 210,446922115 210,334329465 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-10 9,3535 9,3485 22,63329 22,63329 211,700478015 211,587311565 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-11 9,3365 9,3315 22,59787 22,59787 210,985013255 210,872023905 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-12 9,3025 9,2975 22,40467 22,40467 208,419442675 208,307419325 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-15 9,3065 9,3015 22,41477 22,41477 208,603057005 208,490983155 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-16 9,2995 9,2945 22,39174 22,39174 208,23198613 208,12002743 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-17 9,3405 9,3355 22,30748 22,30748 208,36301694 208,25147954 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-18 9,3365 9,3315 22,30907 22,30907 208,288632055 208,177086705 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-19 9,3395 9,3345 22,52726 22,52726 210,39334477 210,28070847 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-22 9,3655 9,3605 22,57414 22,57414 211,41810817 211,30523747 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-23 9,3715 9,3665 22,30676 22,30676 209,04780134 208,93626754 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-24 9,3365 9,3315 22,2176 22,2176 207,4346224 207,3235344 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-25 9,3335 9,3285 22,14681 22,14681 206,707251135 206,596517085 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-26 9,3415 9,3365 21,84487 21,84487 204,063853105 203,954628755 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-29 9,3295 9,3245 21,75418 21,75418 202,95562231 202,84685141 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-30 9,3285 9,3235 21,9501 21,9501 204,76150785 204,65175735 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-08-31 9,3585 9,3535 22,0027 22,0027 205,91226795 205,80225445 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-01 9,3365 9,3315 21,78448 21,78448 203,39079752 203,28187512 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-02 9,3025 9,2975 21,66831 21,66831 201,569453775 201,461112225 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-05 9,2845 9,2795 21,82095 21,82095 202,596610275 202,487505525 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-06 9,3225 9,3175 22,08426 22,08426 205,88051385 205,77009255 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-07 9,3075 9,3025 22,14103 22,14103 206,077636725 205,966931575 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-08 9,3255 9,3205 22,30101 22,30101 207,968068755 207,856563705 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-09 9,3445 9,3395 22,57143 22,57143 210,918727635 210,805870485 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-12 9,3015 9,2965 22,89617 22,89617 212,968725255 212,854244405 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-13 9,3015 9,2965 22,84771 22,84771 212,517974565 212,403736015 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-14 9,3365 9,3315 23,00787 23,00787 214,812978255 214,697938905 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-15 9,3425 9,3375 23,09167 23,09167 215,733926975 215,618468625 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-16 9,3465 9,3415 23,08376 23,08376 215,75236284 215,63694404 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-19 9,3355 9,3305 23,40098 23,40098 218,45984879 218,34284389 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-20 9,3395 9,3345 23,40819 23,40819 218,620790505 218,503749555 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-21 9,3405 9,3355 23,21912 23,21912 216,87819036 216,76209476 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-22 9,3405 9,3355 22,95171 22,95171 214,380447255 214,265688705 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-23 9,3695 9,3645 23,13462 23,13462 216,75982209 216,64414899 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-26 9,3815 9,3765 22,81081 22,81081 213,999614015 213,885559965 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-27 9,3885 9,3835 22,84864 22,84864 214,51445664 214,40021344 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-28 9,3935 9,3885 23,24205 23,24205 218,324196675 218,207986425 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-29 9,3845 9,3795 23,22451 23,22451 217,950414095 217,834291545 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-09-30 9,3435 9,3385 23,12483 23,12483 216,066849105 215,951224955 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-03 9,3025 9,2975 23,55248 23,55248 219,0969452 218,9791828 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-04 9,3185 9,3135 23,38218 23,38218 217,88684433 217,76993343 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-05 9,3105 9,3055 23,0003 23,0003 214,14429315 214,02929165 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-06 9,3015 9,2965 22,80949 22,80949 212,162471235 212,048423785 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-07 9,3385 9,3335 22,92849 22,92849 214,117703865 214,003061415 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-10 9,3465 9,3415 23,08503 23,08503 215,764232895 215,648807745 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-11 9,3395 9,3345 23,06488 23,06488 215,41444676 215,29912236 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-12 9,3375 9,3325 22,73454 22,73454 212,28376725 212,17009455 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-13 9,3815 9,3765 22,6762 22,6762 212,7367703 212,6233893 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-14 9,4135 9,4085 22,47608 22,47608 211,57857908 211,46619868 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-17 9,4575 9,4525 22,4785 22,4785 212,59041375 212,47802125 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-18 9,4625 9,4575 21,94709 21,94709 207,674339125 207,564603675 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-19 9,4605 9,4555 21,87747 21,87747 206,971804935 206,862417585 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-20 9,4935 9,4885 21,96473 21,96473 208,522164255 208,412340605 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-21 9,4915 9,4865 21,78217 21,78217 206,745466555 206,636555705 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-24 9,5455 9,5405 21,91638 21,91638 209,20280529 209,09322339 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-25 9,5465 9,5415 21,703 21,703 207,1876895 207,0791745 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-26 9,4975 9,4925 21,73723 21,73723 206,449341925 206,340655775 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-27 9,5355 9,5305 21,33447 21,33447 203,434838685 203,328166335 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-28 9,5135 9,5085 21,57206 21,57206 205,22579281 205,11793251 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-10-31 9,5495 9,5445 22,15456 22,15456 211,56497072 211,45419792 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-01 9,5495 9,5445 22,43156 22,43156 214,21018222 214,09802442 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-02 9,5855 9,5805 22,56809 22,56809 216,326426695 216,213586245 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-03 9,6515 9,6465 22,60387 22,60387 218,161251305 218,048231955 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-04 9,5875 9,5825 22,62806 22,62806 216,94652525 216,83338495 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-07 9,6075 9,6025 22,96261 22,96261 220,613275575 220,498462525 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-08 9,5685 9,5635 23,21533 23,21533 222,135885105 222,019808455 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-09 9,5575 9,5525 23,36082 23,36082 223,27103715 223,15423305 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-10 9,6105 9,6055 23,58635 23,58635 226,676616675 226,558684925 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-11 9,6365 9,6315 23,91864 23,91864 230,49197436 230,37238116 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-14 9,5505 9,5455 23,82654 23,82654 227,55537027 227,43623757 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-15 9,5805 9,5755 24,18926 24,18926 231,74520543 231,62425913 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-16 9,6235 9,6185 24,10502 24,10502 231,97465997 231,85413487 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-17 9,6355 9,6305 24,2533 24,2533 233,69267215 233,57140565 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-18 9,6085 9,6035 24,22801 24,22801 232,794834085 232,673694035 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-21 9,5915 9,5865 23,60665 23,60665 226,423183475 226,305150225 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-22 9,5585 9,5535 24,10259 24,10259 230,384606515 230,264093565 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-23 9,5155 9,5105 24,13824 24,13824 229,68742272 229,56673152 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-24 9,5125 9,5075 24,12603 24,12603 229,498860375 229,378230225 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-25 9,4965 9,4915 24,37425 24,37425 231,470065125 231,348193875 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-28 9,4835 9,4785 24,25987 24,25987 230,068477145 229,947177795 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-29 9,4785 9,4735 24,26693 24,26693 230,014096005 229,892761355 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-11-30 9,5295 9,5245 24,2665 24,2665 231,24761175 231,12627925 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-01 9,5165 9,5115 24,5683 24,5683 233,80422695 233,68138545 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-02 9,4905 9,4855 24,77803 24,77803 235,155893715 235,032003565 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-05 9,4065 9,4015 25,01853 25,01853 235,336802445 235,211709795 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-07 9,4255 9,4205 24,93444 24,93444 235,01956422 234,89489202 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-08 9,3965 9,3915 24,79678 24,79678 233,00294327 232,87895937 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-12 9,4315 9,4265 24,61587 24,61587 232,164577905 232,041498555 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-13 9,4295 9,4245 24,8205 24,8205 234,04490475 233,92080225 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-14 9,4365 9,4315 24,76066 24,76066 233,65396809 233,53016479 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-15 9,4345 9,4295 24,70645 24,70645 233,093002525 232,969470275 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-16 9,4765 9,4715 24,89049 24,89049 235,874728485 235,750276035 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-19 9,4535 9,4485 24,87539 24,87539 235,159499365 235,035122415 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-20 9,4015 9,3965 25,16892 25,16892 236,62560138 236,49975678 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-21 9,4485 9,4435 25,25122 25,25122 238,58615217 238,45989607 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-22 9,4365 9,4315 25,42359 25,42359 239,909707035 239,782589085 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-23 9,4425 9,4375 25,5335 25,5335 241,10007375 240,97240625 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-27 9,4915 9,4865 25,54129 25,54129 242,425154035 242,297447585 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-28 9,4345 9,4295 25,68108 25,68108 242,28814926 242,15974386 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-29 9,4115 9,4065 25,89463 25,89463 243,707310245 243,577837095 786145 Sampo Fondbolag Ab Mandatum Emerging Asia EUR 2005-12-30 9,4325 9,4275 26,09791 26,09791 246,168536075 246,038046525 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-03 9,0065 9,0015 24,25523 24,25523 218,454728995 218,333452845 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-04 9,0345 9,0295 24,32523 24,32523 219,766290435 219,644664285 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-05 9,0615 9,0565 24,28841 24,28841 220,089427215 219,967985165 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-07 9,0615 9,0565 24,32176 24,32176 220,39162824 220,27001944 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-10 9,08619 9,08119 24,28139 24,28139 220,6253230041 220,5039160541 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-11 9,08619 9,08119 24,12046 24,12046 219,1630824474 219,0424801474 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-12 9,0455 9,0405 24,08598 24,08598 217,86973209 217,74930219 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-13 9,0505 9,0455 24,0085 24,0085 217,28892925 217,16888675 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-14 9,0455 9,0405 24,00933 24,00933 217,176394515 217,056347865 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-17 9,0685 9,0635 23,81279 23,81279 215,946286115 215,827222165 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-18 9,0585 9,0535 23,75741 23,75741 215,206498485 215,087711435 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-19 9,0225 9,0175 23,77997 23,77997 214,554779325 214,435879475 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-20 9,0315 9,0265 23,34513 23,34513 210,841541595 210,724815945 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-21 9,0505 9,0455 23,38436 23,38436 211,64015018 211,52322838 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-24 9,0655 9,0605 23,37721 23,37721 211,926097255 211,809211205 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-25 9,0715 9,0665 23,33486 23,33486 211,68218249 211,56550819 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-26 9,0885 9,0835 23,4253 23,4253 212,90083905 212,78371255 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-27 9,0675 9,0625 23,60206 23,60206 214,01167905 213,89366875 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-28 9,0955 9,0905 23,61436 23,61436 214,78441138 214,66633958 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-01-31 9,1075 9,1025 23,57987 23,57987 214,753666025 214,635766675 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-01 9,1035 9,0985 23,70445 23,70445 215,793460575 215,674938325 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-02 9,0905 9,0855 23,98853 23,98853 218,067731965 217,947789315 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-03 9,0695 9,0645 24,05814 24,05814 218,19530073 218,07501003 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-04 9,0895 9,0845 24,26099 24,26099 220,520268605 220,398963655 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-07 9,0755 9,0705 24,5405 24,5405 222,71730775 222,59460525 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-08 9,0895 9,0845 24,568 24,568 223,310836 223,187996 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-09 9,0695 9,0645 24,60219 24,60219 223,129562205 223,006551255 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-10 9,0805 9,0755 24,44531 24,44531 221,975637455 221,853410905 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-11 9,0935 9,0885 24,45574 24,45574 222,38827169 222,26599299 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-14 9,1105 9,1055 24,57157 24,57157 223,859288485 223,736430635 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-15 9,0765 9,0715 24,88292 24,88292 225,84982338 225,72540878 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-16 9,0705 9,0655 24,95121 24,95121 226,319950305 226,195194255 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-17 9,0925 9,0875 24,96032 24,96032 226,9517096 226,826908 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-18 9,0945 9,0895 25,01297 25,01297 227,480455665 227,355390815 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-21 9,1185 9,1135 24,9794 24,9794 227,7746589 227,6497619 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-22 9,0975 9,0925 25,06234 25,06234 228,00463815 227,87932645 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-23 9,1045 9,0995 24,97628 24,97628 227,39654126 227,27165986 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-24 9,0715 9,0665 25,0755 25,0755 227,47239825 227,34702075 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-25 9,0845 9,0795 25,35938 25,35938 230,37728761 230,25049071 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-02-28 9,0505 9,0455 25,46251 25,46251 230,448446755 230,321134205 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-01 9,0565 9,0515 25,45597 25,45597 230,541992305 230,414712455 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-02 9,0645 9,0595 25,54604 25,54604 231,56207958 231,43434938 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-03 9,0675 9,0625 25,51667 25,51667 231,372405225 231,244821875 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-04 9,0415 9,0365 25,58839 25,58839 231,357428185 231,229486235 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-07 9,0425 9,0375 25,77375 25,77375 233,059134375 232,930265625 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-08 9,0345 9,0295 25,79455 25,79455 233,040861975 232,911889225 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-09 9,0365 9,0315 25,94319 25,94319 234,435636435 234,305920485 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-10 9,0655 9,0605 25,74646 25,74646 233,40453313 233,27580083 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-11 9,0795 9,0745 25,73426 25,73426 233,65421367 233,52554237 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-14 9,0695 9,0645 25,69086 25,69086 233,00325477 232,87480047 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-15 9,1035 9,0985 25,7097 25,7097 234,04825395 233,91970545 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-16 9,0975 9,0925 25,692 25,692 233,73297 233,60451 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-17 9,1045 9,0995 25,51844 25,51844 232,33263698 232,20504478 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-18 9,1035 9,0985 25,44803 25,44803 231,666141105 231,538900955 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-21 9,1265 9,1215 25,46987 25,46987 232,450768555 232,323419205 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-22 9,1265 9,1215 25,41104 25,41104 231,91385656 231,78680136 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-23 9,1165 9,1115 25,09415 25,09415 228,770818475 228,645347725 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-24 9,1135 9,1085 25,14291 25,14291 229,139910285 229,014195735 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-29 9,1315 9,1265 25,37929 25,37929 231,750986635 231,624090185 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-30 9,1425 9,1375 25,23906 25,23906 230,74810605 230,62191075 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-03-31 9,1405 9,1355 25,44733 25,44733 232,601319865 232,474083215 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-01 9,1645 9,1595 25,47305 25,47305 233,447766725 233,320401475 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-04 9,1695 9,1645 25,34578 25,34578 232,40812971 232,28140081 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-05 9,1745 9,1695 25,39739 25,39739 233,008354555 232,881367605 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-06 9,1705 9,1655 25,53422 25,53422 234,16156451 234,03389341 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-07 9,1505 9,1455 25,82067 25,82067 236,272040835 236,142937485 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-08 9,1625 9,1575 26,04081 26,04081 238,598921625 238,468717575 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-11 9,1705 9,1655 26,03067 26,03067 238,714259235 238,584105885 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-12 9,1525 9,1475 26,04673 26,04673 238,392696325 238,262462675 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-13 9,1495 9,1445 26,06262 26,06262 238,45994169 238,32962859 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-14 9,1685 9,1635 26,15048 26,15048 239,76067588 239,62992348 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-15 9,1925 9,1875 25,96311 25,96311 238,665888675 238,536073125 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-18 9,1805 9,1755 25,42928 25,42928 233,45350504 233,32635864 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-19 9,2035 9,1985 25,51427 25,51427 234,820583945 234,693012595 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-20 9,1915 9,1865 25,5124 25,5124 234,4972246 234,3696626 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-21 9,1855 9,1805 25,41687 25,41687 233,466659385 233,339575035 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-22 9,1625 9,1575 25,68598 25,68598 235,34779175 235,21936185 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-25 9,1685 9,1635 25,79445 25,79445 236,496414825 236,367442575 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-26 9,1375 9,1325 25,39807 25,39807 232,074864625 231,947874275 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-27 9,1465 9,1415 25,18827 25,18827 230,384511555 230,258570205 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-28 9,1505 9,1455 24,84938 24,84938 227,38425169 227,26000479 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-04-29 9,1705 9,1655 24,69099 24,69099 226,428723795 226,305268845 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-02 9,1935 9,1885 24,75657 24,75657 227,599526295 227,475743445 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-03 9,2245 9,2195 24,70574 24,70574 227,89809863 227,77456993 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-04 9,1915 9,1865 24,78643 24,78643 227,824471345 227,700539195 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-06 9,1715 9,1665 24,90646 24,90646 228,42959789 228,30506559 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-09 9,1815 9,1765 24,97258 24,97258 229,28574327 229,16088037 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-10 9,1985 9,1935 25,02674 25,02674 230,20846789 230,08333419 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-11 9,2105 9,2055 25,03139 25,03139 230,551617595 230,426460645 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-12 9,2315 9,2265 25,0439 25,0439 231,19276285 231,06754335 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-13 9,2045 9,1995 25,24455 25,24455 232,363460475 232,237237725 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-16 9,2145 9,2095 25,3499 25,3499 233,58665355 233,45990405 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-17 9,2325 9,2275 25,36054 25,36054 234,14118555 234,01438285 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-18 9,2095 9,2045 25,60423 25,60423 235,802156185 235,674135035 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-19 9,1905 9,1855 25,80444 25,80444 237,15570582 237,02668362 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-20 9,1955 9,1905 26,02837 26,02837 239,343876335 239,213734485 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-23 9,1805 9,1755 26,16382 26,16382 240,19694951 240,06613041 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-24 9,1815 9,1765 26,19257 26,19257 240,487081455 240,356118605 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-25 9,1785 9,1735 26,29552 26,29552 241,35343032 241,22195272 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-26 9,1945 9,1895 26,29344 26,29344 241,75503408 241,62356688 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-27 9,1955 9,1905 26,33438 26,33438 242,15779129 242,02611939 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-30 9,1905 9,1855 26,41213 26,41213 242,740680765 242,608620115 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-05-31 9,1665 9,1615 26,2154 26,2154 240,3034641 240,1723871 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-01 9,1455 9,1405 26,34092 26,34092 240,90088386 240,76917926 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-02 9,1565 9,1515 26,51079 26,51079 242,746048635 242,613494685 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-03 9,1315 9,1265 26,52809 26,52809 242,241253835 242,108613385 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-07 9,1455 9,1405 26,55262 26,55262 242,83698621 242,70422311 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-08 9,1455 9,1405 26,71829 26,71829 244,352121195 244,218529745 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-09 9,1965 9,1915 26,8945 26,8945 247,33526925 247,20079675 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-10 9,1975 9,1925 27,12662 27,12662 249,49708745 249,36145435 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-13 9,2365 9,2315 27,38545 27,38545 252,945708925 252,808781675 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-14 9,2985 9,2935 27,37058 27,37058 254,50533813 254,36848523 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-15 9,2695 9,2645 27,51073 27,51073 255,010711735 254,873158085 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-16 9,2695 9,2645 27,52625 27,52625 255,154574375 255,016943125 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-17 9,2695 9,2645 27,54532 27,54532 255,33134374 255,19361714 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-20 9,2255 9,2205 27,4971 27,4971 253,67449605 253,53701055 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-21 9,2725 9,2675 27,53623 27,53623 255,329692675 255,192011525 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-22 9,2615 9,2565 27,55041 27,55041 255,158122215 255,020370165 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-23 9,3535 9,3485 27,61025 27,61025 258,252473375 258,114422125 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-27 9,3855 9,3805 27,35524 27,35524 256,74260502 256,60582882 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-28 9,3995 9,3945 27,40107 27,40107 257,556357465 257,419352115 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-29 9,4215 9,4165 27,50694 27,50694 259,15663521 259,01910051 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-06-30 9,4415 9,4365 27,55349 27,55349 260,146275835 260,008508385 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-01 9,4595 9,4545 27,59953 27,59953 261,077754035 260,939756385 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-04 9,4795 9,4745 27,71174 27,71174 262,69343933 262,55488063 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-05 9,4575 9,4525 27,71769 27,71769 262,140053175 262,001464725 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-06 9,4195 9,4145 27,88002 27,88002 262,61584839 262,47644829 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-07 9,3965 9,3915 27,44773 27,44773 257,912594945 257,775356295 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-08 9,4175 9,4125 28,23733 28,23733 265,925055275 265,783868625 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-11 9,4665 9,4615 28,43893 28,43893 269,217130845 269,074936195 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-12 9,4645 9,4595 28,46832 28,46832 269,43841464 269,29607304 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-13 9,3915 9,3865 28,4978 28,4978 267,6370887 267,4945997 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-14 9,3675 9,3625 28,61555 28,61555 268,056164625 267,913086875 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-15 9,4055 9,4005 28,66146 28,66146 269,57536203 269,43205473 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-18 9,3895 9,3845 28,83589 28,83589 270,754589155 270,610409705 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-19 9,4425 9,4375 28,74082 28,74082 271,38519285 271,24148875 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-20 9,4265 9,4215 28,6781 28,6781 270,33410965 270,19071915 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-21 9,4625 9,4575 28,56088 28,56088 270,257327 270,1145226 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-22 9,4495 9,4445 28,59784 28,59784 270,23528908 270,09229988 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-25 9,4275 9,4225 28,51347 28,51347 268,810738425 268,668171075 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-26 9,4155 9,4105 28,5168 28,5168 268,4999304 268,3573464 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-27 9,4725 9,4675 28,47237 28,47237 269,704524825 269,562162975 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-28 9,4515 9,4465 28,70989 28,70989 271,351525335 271,207975885 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-07-29 9,3885 9,3835 28,84632 28,84632 270,82367532 270,67944372 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-01 9,3985 9,3935 28,8619 28,8619 271,25856715 271,11425765 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-02 9,3995 9,3945 28,92817 28,92817 271,910333915 271,765693065 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-03 9,3755 9,3705 29,13063 29,13063 273,114221565 272,968568415 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-04 9,3735 9,3685 29,19451 29,19451 273,654739485 273,508766935 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-05 9,3355 9,3305 29,12054 29,12054 271,85480117 271,70919847 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-08 9,3335 9,3285 29,1555 29,1555 272,12285925 271,97708175 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-09 9,3455 9,3405 28,99628 28,99628 270,98473474 270,83975334 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-10 9,3535 9,3485 29,07995 29,07995 271,999312325 271,853912575 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-11 9,3365 9,3315 28,94118 28,94118 270,20932707 270,06462117 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-12 9,3025 9,2975 28,87287 28,87287 268,589873175 268,445508825 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-15 9,3065 9,3015 28,92372 28,92372 269,17860018 269,03398158 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-16 9,2995 9,2945 28,9165 28,9165 268,90899175 268,76440925 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-17 9,3405 9,3355 28,89785 28,89785 269,920367925 269,775878675 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-18 9,3365 9,3315 28,95701 28,95701 270,357123865 270,212338815 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-19 9,3395 9,3345 29,18506 29,18506 272,57386787 272,42794257 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-22 9,3655 9,3605 29,5123 29,5123 276,39744565 276,24988415 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-23 9,3715 9,3665 29,61641 29,61641 277,550186315 277,402104265 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-24 9,3365 9,3315 29,52015 29,52015 275,614880475 275,467279725 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-25 9,3335 9,3285 29,50939 29,50939 275,425891565 275,278344615 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-26 9,3415 9,3365 29,60727 29,60727 276,576312705 276,428276355 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-29 9,3295 9,3245 29,30735 29,30735 273,422921825 273,276385075 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-30 9,3285 9,3235 29,38522 29,38522 274,12002477 273,97309867 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-08-31 9,3585 9,3535 29,37158 29,37158 274,87393143 274,72707353 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-01 9,3365 9,3315 29,60501 29,60501 276,407175865 276,259150815 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-02 9,3025 9,2975 29,50863 29,50863 274,504030575 274,356487425 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-05 9,2845 9,2795 29,5664 29,5664 274,5092408 274,3614088 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-06 9,3225 9,3175 29,64514 29,64514 276,36681765 276,21859195 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-07 9,3075 9,3025 29,99816 29,99816 279,2078742 279,0578834 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-08 9,3255 9,3205 30,06467 30,06467 280,368080085 280,217756735 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-09 9,3445 9,3395 30,10176 30,10176 281,28589632 281,13538752 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-12 9,3015 9,2965 30,36287 30,36287 282,420235305 282,268420955 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-13 9,3015 9,2965 30,50529 30,50529 283,744954935 283,592428485 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-14 9,3365 9,3315 30,62562 30,62562 285,93610113 285,78297303 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-15 9,3425 9,3375 30,66498 30,66498 286,48757565 286,33425075 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-16 9,3465 9,3415 30,63164 30,63164 286,29862326 286,14546506 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-19 9,3355 9,3305 30,74538 30,74538 287,02349499 286,86976809 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-20 9,3395 9,3345 30,94579 30,94579 289,018205705 288,863476755 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-21 9,3405 9,3355 30,91137 30,91137 288,727651485 288,573094635 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-22 9,3405 9,3355 30,79978 30,79978 287,68534509 287,53134619 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-23 9,3695 9,3645 30,96754 30,96754 290,15036603 289,99552833 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-26 9,3815 9,3765 31,23871 31,23871 293,065957865 292,909764315 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-27 9,3885 9,3835 31,3011 31,3011 293,87037735 293,71387185 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-28 9,3935 9,3885 31,28229 31,28229 293,850191115 293,693779665 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-29 9,3845 9,3795 31,33149 31,33149 294,030367905 293,873710455 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-09-30 9,3435 9,3385 31,53852 31,53852 294,68016162 294,52246902 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-03 9,3025 9,2975 31,68296 31,68296 294,7307354 294,5723206 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-04 9,3185 9,3135 31,68158 31,68158 295,22480323 295,06639533 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-05 9,3105 9,3055 31,47797 31,47797 293,075639685 292,918249835 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-06 9,3015 9,2965 30,949 30,949 287,8721235 287,7173785 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-07 9,3385 9,3335 31,14607 31,14607 290,857574695 290,701844345 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-10 9,3465 9,3415 31,29781 31,29781 292,524981165 292,368492115 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-11 9,3395 9,3345 31,01894 31,01894 289,70139013 289,54629543 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-12 9,3375 9,3325 30,85919 30,85919 288,147686625 287,993390675 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-13 9,3815 9,3765 30,46931 30,46931 285,847831765 285,695485215 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-14 9,4135 9,4085 30,0405 30,0405 282,78624675 282,63604425 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-17 9,4575 9,4525 30,15409 30,15409 285,182306175 285,031535725 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-18 9,4625 9,4575 30,2999 30,2999 286,71280375 286,56130425 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-19 9,4605 9,4555 29,76163 29,76163 281,559900615 281,411092465 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-20 9,4935 9,4885 29,61539 29,61539 281,153704965 281,005628015 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-21 9,4915 9,4865 28,96929 28,96929 274,962016035 274,817169585 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-24 9,5455 9,5405 28,79364 28,79364 274,84969062 274,70572242 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-25 9,5465 9,5415 29,32128 29,32128 279,91559952 279,76899312 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-26 9,4975 9,4925 29,30509 29,30509 278,325092275 278,178566825 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-27 9,5355 9,5305 29,32505 29,32505 279,629014275 279,482389025 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-28 9,5135 9,5085 29,17999 29,17999 277,603834865 277,457934915 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-10-31 9,5495 9,5445 29,43463 29,43463 281,085999185 280,938826035 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-01 9,5495 9,5445 29,77354 29,77354 284,32242023 284,17355253 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-02 9,5855 9,5805 29,89253 29,89253 286,534846315 286,385383665 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-03 9,6515 9,6465 29,90079 29,90079 288,587474685 288,437970735 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-04 9,5875 9,5825 30,08706 30,08706 288,45968775 288,30925245 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-07 9,6075 9,6025 30,0443 30,0443 288,65061225 288,50039075 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-08 9,5685 9,5635 30,01561 30,01561 287,204364285 287,054286235 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-09 9,5575 9,5525 29,92809 29,92809 286,037720175 285,888079725 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-10 9,6105 9,6055 30,05372 30,05372 288,83127606 288,68100746 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-11 9,6365 9,6315 30,07596 30,07596 289,82698854 289,67660874 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-14 9,5505 9,5455 30,00712 30,00712 286,58299956 286,43296396 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-15 9,5805 9,5755 29,9195 29,9195 286,64376975 286,49417225 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-16 9,6235 9,6185 29,69887 29,69887 285,807075445 285,658581095 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-17 9,6355 9,6305 29,74319 29,74319 286,590507245 286,441791295 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-18 9,6085 9,6035 29,839 29,839 286,7080315 286,5588365 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-21 9,5915 9,5865 29,87029 29,87029 286,500886535 286,351535085 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-22 9,5585 9,5535 29,7451 29,7451 284,31853835 284,16981285 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-23 9,5155 9,5105 29,99565 29,99565 285,423607575 285,273629325 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-24 9,5125 9,5075 30,26829 30,26829 287,927108625 287,775767175 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-25 9,4965 9,4915 30,4584 30,4584 289,2481956 289,0959036 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-28 9,4835 9,4785 30,34942 30,34942 287,81872457 287,66697747 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-29 9,4785 9,4735 30,15481 30,15481 285,822366585 285,671592535 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-11-30 9,5295 9,5245 30,30858 30,30858 288,82561311 288,67407021 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-01 9,5165 9,5115 30,33983 30,33983 288,728992195 288,577293045 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-02 9,4905 9,4855 30,67705 30,67705 291,140543025 290,987157775 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-05 9,4065 9,4015 30,68934 30,68934 288,67927671 288,52583001 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-07 9,4255 9,4205 30,92113 30,92113 291,447110815 291,292505165 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-08 9,3965 9,3915 30,96922 30,96922 291,00227573 290,84742963 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-12 9,4315 9,4265 31,21661 31,21661 294,419457215 294,263374165 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-13 9,4295 9,4245 31,11591 31,11591 293,407473345 293,251893795 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-14 9,4365 9,4315 31,13467 31,13467 293,802313455 293,646640105 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-15 9,4345 9,4295 31,13962 31,13962 293,78674489 293,63104679 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-16 9,4765 9,4715 31,16821 31,16821 295,365542065 295,209701015 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-19 9,4535 9,4485 31,12485 31,12485 294,238769475 294,083145225 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-20 9,4015 9,3965 30,8298 30,8298 289,8463647 289,6922157 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-21 9,4485 9,4435 30,88666 30,88666 291,83260701 291,67817371 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-22 9,4365 9,4315 30,83293 30,83293 290,954943945 290,800779295 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-23 9,4425 9,4375 31,01045 31,01045 292,816174125 292,661121875 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-27 9,4915 9,4865 31,01228 31,01228 294,35305562 294,19799422 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-28 9,4345 9,4295 30,93178 30,93178 291,82587841 291,67121951 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-29 9,4115 9,4065 31,18233 31,18233 293,472498795 293,316587145 857805 Sampo Fondbolag Ab Mandatum Finland Tillväxtbolag EUR 2005-12-30 9,4325 9,4275 31,19056 31,19056 294,2049572 294,0490044 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-03 9,0065 9,0015 1,10628 1,10628 9,96371082 9,95817942 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-04 9,0345 9,0295 1,08015 1,08015 9,758615175 9,753214425 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-05 9,0615 9,0565 1,07594 1,07594 9,74963031 9,74425061 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-07 9,0615 9,0565 1,07547 1,07547 9,745371405 9,739994055 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-10 9,08619 9,08119 1,07838 1,07838 9,7983655722 9,7929736722 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-11 9,08619 9,08119 1,06183 1,06183 9,6479891277 9,6426799777 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-12 9,0455 9,0405 1,07244 1,07244 9,70075602 9,69539382 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-13 9,0505 9,0455 1,07457 1,07457 9,725395785 9,720022935 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-14 9,0455 9,0405 1,09384 1,09384 9,89432972 9,88886052 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-17 9,0685 9,0635 1,09616 1,09616 9,94052696 9,93504616 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-18 9,0585 9,0535 1,09413 1,09413 9,911176605 9,905705955 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-19 9,0225 9,0175 1,09276 1,09276 9,8594271 9,8539633 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-20 9,0315 9,0265 1,08452 1,08452 9,79484238 9,78941978 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-21 9,0505 9,0455 1,08971 1,08971 9,862420355 9,856971805 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-24 9,0655 9,0605 1,09586 1,09586 9,93451883 9,92903953 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-25 9,0715 9,0665 1,10211 1,10211 9,997790865 9,992280315 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-26 9,0885 9,0835 1,1153 1,1153 10,13640405 10,13082755 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-27 9,0675 9,0625 1,10345 1,10345 10,005532875 10,000015625 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-28 9,0955 9,0905 1,1003 1,1003 10,00777865 10,00227715 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-01-31 9,1075 9,1025 1,12047 1,12047 10,204680525 10,199078175 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-01 9,1035 9,0985 1,13037 1,13037 10,290323295 10,284671445 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-02 9,0905 9,0855 1,13522 1,13522 10,31971741 10,31404131 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-03 9,0695 9,0645 1,15135 1,15135 10,442168825 10,436412075 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-04 9,0895 9,0845 1,17051 1,17051 10,639350645 10,633498095 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-07 9,0755 9,0705 1,18922 1,18922 10,79276611 10,78682001 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-08 9,0895 9,0845 1,19749 1,19749 10,884585355 10,878597905 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-09 9,0695 9,0645 1,19545 1,19545 10,842133775 10,836156525 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-10 9,0805 9,0755 1,20044 1,20044 10,90059542 10,89459322 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-11 9,0935 9,0885 1,1987 1,1987 10,90037845 10,89438495 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-14 9,1105 9,1055 1,19132 1,19132 10,85352086 10,84756426 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-15 9,0765 9,0715 1,19466 1,19466 10,84333149 10,83735819 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-16 9,0705 9,0655 1,18653 1,18653 10,762420365 10,756487715 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-17 9,0925 9,0875 1,19125 1,19125 10,831440625 10,825484375 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-18 9,0945 9,0895 1,19853 1,19853 10,900031085 10,894038435 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-21 9,1185 9,1135 1,19856 1,19856 10,92906936 10,92307656 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-22 9,0975 9,0925 1,18034 1,18034 10,73814315 10,73224145 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-23 9,1045 9,0995 1,18645 1,18645 10,802034025 10,796101775 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-24 9,0715 9,0665 1,20211 1,20211 10,904940865 10,898930315 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-25 9,0845 9,0795 1,21263 1,21263 11,016137235 11,010074085 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-02-28 9,0505 9,0455 1,19661 1,19661 10,829918805 10,823935755 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-01 9,0565 9,0515 1,18937 1,18937 10,771529405 10,765582555 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-02 9,0645 9,0595 1,20366 1,20366 10,91057607 10,90455777 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-03 9,0675 9,0625 1,20433 1,20433 10,920262275 10,914240625 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-04 9,0415 9,0365 1,22432 1,22432 11,06968928 11,06356768 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-07 9,0425 9,0375 1,22058 1,22058 11,03709465 11,03099175 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-08 9,0345 9,0295 1,20405 1,20405 10,877989725 10,871969475 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-09 9,0365 9,0315 1,17608 1,17608 10,62764692 10,62176652 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-10 9,0655 9,0605 1,15098 1,15098 10,43420919 10,42845429 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-11 9,0795 9,0745 1,14975 1,14975 10,439155125 10,433406375 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-14 9,0695 9,0645 1,13039 1,13039 10,252072105 10,246420155 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-15 9,1035 9,0985 1,11625 1,11625 10,161781875 10,156200625 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-16 9,0975 9,0925 1,12037 1,12037 10,192566075 10,186964225 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-17 9,1045 9,0995 1,13662 1,13662 10,34835679 10,34267369 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-18 9,1035 9,0985 1,13903 1,13903 10,369159605 10,363464455 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-21 9,1265 9,1215 1,13745 1,13745 10,380937425 10,375250175 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-22 9,1265 9,1215 1,12596 1,12596 10,27607394 10,27044414 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-23 9,1165 9,1115 1,1141 1,1141 10,15669265 10,15112215 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-24 9,1135 9,1085 1,11974 1,11974 10,20475049 10,19915179 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-29 9,1315 9,1265 1,10231 1,10231 10,065743765 10,060232215 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-30 9,1425 9,1375 1,12397 1,12397 10,275895725 10,270275875 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-03-31 9,1405 9,1355 1,13651 1,13651 10,388269655 10,382587105 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-01 9,1645 9,1595 1,1424 1,1424 10,4695248 10,4638128 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-04 9,1695 9,1645 1,13842 1,13842 10,43874219 10,43305009 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-05 9,1745 9,1695 1,13385 1,13385 10,402506825 10,396837575 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-06 9,1705 9,1655 1,1218 1,1218 10,2874669 10,2818579 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-07 9,1505 9,1455 1,14458 1,14458 10,47347929 10,46775639 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-08 9,1625 9,1575 1,15197 1,15197 10,554925125 10,549165275 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-11 9,1705 9,1655 1,14534 1,14534 10,50334047 10,49761377 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-12 9,1525 9,1475 1,14955 1,14955 10,521256375 10,515508625 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-13 9,1495 9,1445 1,1473 1,1473 10,49722135 10,49148485 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-14 9,1685 9,1635 1,12594 1,12594 10,32318089 10,31755119 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-15 9,1925 9,1875 1,09691 1,09691 10,083345175 10,077860625 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-18 9,1805 9,1755 1,07501 1,07501 9,869129305 9,863754255 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-19 9,2035 9,1985 1,10558 1,10558 10,17520553 10,16967763 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-20 9,1915 9,1865 1,09407 1,09407 10,056144405 10,050674055 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-21 9,1855 9,1805 1,1087 1,1087 10,18396385 10,17842035 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-22 9,1625 9,1575 1,10462 1,10462 10,12108075 10,11555765 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-25 9,1685 9,1635 1,13588 1,13588 10,41431578 10,40863638 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-26 9,1375 9,1325 1,14739 1,14739 10,484276125 10,478539175 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-27 9,1465 9,1415 1,14491 1,14491 10,471919315 10,466194765 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-28 9,1505 9,1455 1,14491 1,14491 10,476498955 10,470774405 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-04-29 9,1705 9,1655 1,12352 1,12352 10,30324016 10,29762256 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-02 9,1935 9,1885 1,14117 1,14117 10,491346395 10,485640545 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-03 9,2245 9,2195 1,14143 1,14143 10,529121035 10,523413885 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-04 9,1915 9,1865 1,15924 1,15924 10,65515446 10,64935826 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-06 9,1715 9,1665 1,16426 1,16426 10,67801059 10,67218929 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-09 9,1815 9,1765 1,17945 1,17945 10,829120175 10,823222925 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-10 9,1985 9,1935 1,15637 1,15637 10,636869445 10,631087595 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-11 9,2105 9,2055 1,15088 1,15088 10,60018024 10,59442584 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-12 9,2315 9,2265 1,14209 1,14209 10,543203835 10,537493385 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-13 9,2045 9,1995 1,14376 1,14376 10,52773892 10,52202012 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-16 9,2145 9,2095 1,16089 1,16089 10,697020905 10,691216455 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-17 9,2325 9,2275 1,1587 1,1587 10,69769775 10,69190425 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-18 9,2095 9,2045 1,18878 1,18878 10,94806941 10,94212551 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-19 9,1905 9,1855 1,18987 1,18987 10,935500235 10,929550885 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-20 9,1955 9,1905 1,18846 1,18846 10,92848393 10,92254163 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-23 9,1805 9,1755 1,19502 1,19502 10,97088111 10,96490601 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-24 9,1815 9,1765 1,19689 1,19689 10,989245535 10,983261085 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-25 9,1785 9,1735 1,20334 1,20334 11,04485619 11,03883949 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-26 9,1945 9,1895 1,21418 1,21418 11,16377801 11,15770711 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-27 9,1955 9,1905 1,22977 1,22977 11,308350035 11,302201185 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-30 9,1905 9,1855 1,23979 1,23979 11,394289995 11,388091045 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-05-31 9,1665 9,1615 1,2537 1,2537 11,49204105 11,48577255 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-01 9,1455 9,1405 1,27318 1,27318 11,64386769 11,63750179 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-02 9,1565 9,1515 1,30021 1,30021 11,905372865 11,898871815 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-03 9,1315 9,1265 1,29392 1,29392 11,81543048 11,80896088 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-07 9,1455 9,1405 1,25877 1,25877 11,512081035 11,505787185 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-08 9,1455 9,1405 1,24876 1,24876 11,42053458 11,41429078 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-09 9,1965 9,1915 1,24963 1,24963 11,492222295 11,485974145 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-10 9,1975 9,1925 1,26302 1,26302 11,61662645 11,61031135 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-13 9,2365 9,2315 1,29059 1,29059 11,920534535 11,914081585 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-14 9,2985 9,2935 1,30107 1,30107 12,097999395 12,091494045 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-15 9,2695 9,2645 1,3164 1,3164 12,2023698 12,1957878 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-16 9,2695 9,2645 1,32482 1,32482 12,28041899 12,27379489 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-17 9,2695 9,2645 1,3384 1,3384 12,4062988 12,3996068 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-20 9,2255 9,2205 1,3318 1,3318 12,2865209 12,2798619 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-21 9,2725 9,2675 1,33789 1,33789 12,405585025 12,398895575 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-22 9,2615 9,2565 1,33411 1,33411 12,355859765 12,349189215 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-23 9,3535 9,3485 1,31349 1,31349 12,285728715 12,279161265 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-27 9,3855 9,3805 1,32023 1,32023 12,391018665 12,384417515 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-28 9,3995 9,3945 1,33333 1,33333 12,532635335 12,525968685 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-29 9,4215 9,4165 1,34064 1,34064 12,63083976 12,62413656 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-06-30 9,4415 9,4365 1,34256 1,34256 12,67578024 12,66906744 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-01 9,4595 9,4545 1,34558 1,34558 12,72851401 12,72178611 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-04 9,4795 9,4745 1,3615 1,3615 12,90633925 12,89953175 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-05 9,4575 9,4525 1,35195 1,35195 12,786067125 12,779307375 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-06 9,4195 9,4145 1,34638 1,34638 12,68222641 12,67549451 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-07 9,3965 9,3915 1,33441 1,33441 12,538783565 12,532111515 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-08 9,4175 9,4125 1,35704 1,35704 12,7799242 12,773139 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-11 9,4665 9,4615 1,36453 1,36453 12,917323245 12,910500595 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-12 9,4645 9,4595 1,36551 1,36551 12,923869395 12,917041845 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-13 9,3915 9,3865 1,3709 1,3709 12,87480735 12,86795285 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-14 9,3675 9,3625 1,38428 1,38428 12,9672429 12,9603215 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-15 9,4055 9,4005 1,37234 1,37234 12,90754387 12,90068217 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-18 9,3895 9,3845 1,38503 1,38503 13,004739185 12,997814035 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-19 9,4425 9,4375 1,40028 1,40028 13,2221439 13,2151425 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-20 9,4265 9,4215 1,40673 1,40673 13,260540345 13,253506695 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-21 9,4625 9,4575 1,40315 1,40315 13,277306875 13,270291125 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-22 9,4495 9,4445 1,39569 1,39569 13,188572655 13,181594205 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-25 9,4275 9,4225 1,35902 1,35902 12,81216105 12,80536595 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-26 9,4155 9,4105 1,36274 1,36274 12,83087847 12,82406477 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-27 9,4725 9,4675 1,38982 1,38982 13,16506995 13,15812085 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-28 9,4515 9,4465 1,40136 1,40136 13,24495404 13,23794724 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-07-29 9,3885 9,3835 1,40954 1,40954 13,23346629 13,22641859 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-01 9,3985 9,3935 1,41615 1,41615 13,309685775 13,302605025 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-02 9,3995 9,3945 1,44399 1,44399 13,572784005 13,565564055 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-03 9,3755 9,3705 1,44039 1,44039 13,504376445 13,497174495 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-04 9,3735 9,3685 1,43836 1,43836 13,48246746 13,47527566 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-05 9,3355 9,3305 1,42403 1,42403 13,294032065 13,286911915 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-08 9,3335 9,3285 1,43216 1,43216 13,36706536 13,35990456 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-09 9,3455 9,3405 1,45683 1,45683 13,614804765 13,607520615 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-10 9,3535 9,3485 1,46978 1,46978 13,74758723 13,74023833 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-11 9,3365 9,3315 1,45209 1,45209 13,557438285 13,550177835 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-12 9,3025 9,2975 1,43227 1,43227 13,323691675 13,316530325 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-15 9,3065 9,3015 1,46651 1,46651 13,648075315 13,640742765 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-16 9,2995 9,2945 1,459 1,459 13,5679705 13,5606755 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-17 9,3405 9,3355 1,46135 1,46135 13,649739675 13,642432925 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-18 9,3365 9,3315 1,45303 1,45303 13,566214595 13,558949445 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-19 9,3395 9,3345 1,43623 1,43623 13,413670085 13,406488935 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-22 9,3655 9,3605 1,45409 1,45409 13,618279895 13,611009445 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-23 9,3715 9,3665 1,44063 1,44063 13,500864045 13,493660895 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-24 9,3365 9,3315 1,42807 1,42807 13,333175555 13,326035205 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-25 9,3335 9,3285 1,43871 1,43871 13,428199785 13,421006235 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-26 9,3415 9,3365 1,42879 1,42879 13,347041785 13,339897835 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-29 9,3295 9,3245 1,43039 1,43039 13,344823505 13,337671555 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-30 9,3285 9,3235 1,43968 1,43968 13,43005488 13,42285648 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-08-31 9,3585 9,3535 1,46886 1,46886 13,74632631 13,73898201 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-01 9,3365 9,3315 1,4613 1,4613 13,64342745 13,63612095 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-02 9,3025 9,2975 1,46398 1,46398 13,61867395 13,61135405 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-05 9,2845 9,2795 1,47461 1,47461 13,691016545 13,683643495 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-06 9,3225 9,3175 1,5054 1,5054 14,0340915 14,0265645 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-07 9,3075 9,3025 1,51597 1,51597 14,109890775 14,102310925 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-08 9,3255 9,3205 1,51363 1,51363 14,115356565 14,107788415 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-09 9,3445 9,3395 1,53411 1,53411 14,335490895 14,327820345 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-12 9,3015 9,2965 1,54157 1,54157 14,338913355 14,331205505 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-13 9,3015 9,2965 1,5257 1,5257 14,19129855 14,18367005 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-14 9,3365 9,3315 1,53054 1,53054 14,28988671 14,28223401 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-15 9,3425 9,3375 1,55946 1,55946 14,56925505 14,56145775 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-16 9,3465 9,3415 1,5741 1,5741 14,71232565 14,70445515 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-19 9,3355 9,3305 1,60862 1,60862 15,01727201 15,00922891 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-20 9,3395 9,3345 1,60667 1,60667 15,005494465 14,997461115 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-21 9,3405 9,3355 1,6328 1,6328 15,2511684 15,2430044 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-22 9,3405 9,3355 1,6247 1,6247 15,17551035 15,16738685 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-23 9,3695 9,3645 1,65081 1,65081 15,467264295 15,459010245 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-26 9,3815 9,3765 1,66568 1,66568 15,62657692 15,61824852 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-27 9,3885 9,3835 1,66193 1,66193 15,603029805 15,594720155 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-28 9,3935 9,3885 1,68349 1,68349 15,813863315 15,805445865 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-29 9,3845 9,3795 1,69614 1,69614 15,91742583 15,90894513 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-09-30 9,3435 9,3385 1,71173 1,71173 15,993549255 15,984990605 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-03 9,3025 9,2975 1,74762 1,74762 16,25723505 16,24849695 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-04 9,3185 9,3135 1,71148 1,71148 15,94842638 15,93986898 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-05 9,3105 9,3055 1,65637 1,65637 15,421632885 15,413351035 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-06 9,3015 9,2965 1,58008 1,58008 14,69711412 14,68921372 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-07 9,3385 9,3335 1,60347 1,60347 14,974004595 14,965987245 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-10 9,3465 9,3415 1,62311 1,62311 15,170397615 15,162282065 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-11 9,3395 9,3345 1,63688 1,63688 15,28764076 15,27945636 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-12 9,3375 9,3325 1,60164 1,60164 14,9553135 14,9473053 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-13 9,3815 9,3765 1,57639 1,57639 14,788902785 14,781020835 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-14 9,4135 9,4085 1,5758 1,5758 14,8337933 14,8259143 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-17 9,4575 9,4525 1,60367 1,60367 15,166709025 15,158690675 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-18 9,4625 9,4575 1,58339 1,58339 14,982827875 14,974910925 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-19 9,4605 9,4555 1,5897 1,5897 15,03935685 15,03140835 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-20 9,4935 9,4885 1,54627 1,54627 14,679514245 14,671782895 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-21 9,4915 9,4865 1,56209 1,56209 14,826577235 14,818766785 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-24 9,5455 9,5405 1,60276 1,60276 15,29914558 15,29113178 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-25 9,5465 9,5415 1,57645 1,57645 15,049579925 15,041697675 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-26 9,4975 9,4925 1,58192 1,58192 15,0242852 15,0163756 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-27 9,5355 9,5305 1,54591 1,54591 14,741024805 14,733295255 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-28 9,5135 9,5085 1,56901 1,56901 14,926776635 14,918931585 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-10-31 9,5495 9,5445 1,62478 1,62478 15,51583661 15,50771271 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-01 9,5495 9,5445 1,65936 1,65936 15,84605832 15,83776152 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-02 9,5855 9,5805 1,66996 1,66996 16,00740158 15,99905178 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-03 9,6515 9,6465 1,66704 1,66704 16,08943656 16,08110136 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-04 9,5875 9,5825 1,68192 1,68192 16,125408 16,1169984 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-07 9,6075 9,6025 1,70587 1,70587 16,389146025 16,380616675 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-08 9,5685 9,5635 1,72886 1,72886 16,54259691 16,53395261 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-09 9,5575 9,5525 1,73301 1,73301 16,563243075 16,554578025 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-10 9,6105 9,6055 1,72881 1,72881 16,614728505 16,606084455 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-11 9,6365 9,6315 1,74011 1,74011 16,768570015 16,759869465 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-14 9,5505 9,5455 1,72575 1,72575 16,481775375 16,473146625 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-15 9,5805 9,5755 1,73039 1,73039 16,578001395 16,569349445 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-16 9,6235 9,6185 1,74813 1,74813 16,823129055 16,814388405 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-17 9,6355 9,6305 1,77769 1,77769 17,128931995 17,120043545 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-18 9,6085 9,6035 1,76565 1,76565 16,965248025 16,956419775 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-21 9,5915 9,5865 1,75901 1,75901 16,871544415 16,862749365 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-22 9,5585 9,5535 1,78017 1,78017 17,015754945 17,006854095 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-23 9,5155 9,5105 1,78169 1,78169 16,953671195 16,944762745 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-24 9,5125 9,5075 1,78389 1,78389 16,969253625 16,960334175 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-25 9,4965 9,4915 1,79991 1,79991 17,092845315 17,083845765 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-28 9,4835 9,4785 1,78708 1,78708 16,94777318 16,93883778 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-29 9,4785 9,4735 1,78273 1,78273 16,897606305 16,888692655 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-11-30 9,5295 9,5245 1,7964 1,7964 17,1187938 17,1098118 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-01 9,5165 9,5115 1,83351 1,83351 17,448597915 17,439430365 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-02 9,4905 9,4855 1,86243 1,86243 17,675391915 17,666079765 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-05 9,4065 9,4015 1,85667 1,85667 17,464766355 17,455483005 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-07 9,4255 9,4205 1,86508 1,86508 17,57931154 17,56998614 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-08 9,3965 9,3915 1,83076 1,83076 17,20273634 17,19358254 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-12 9,4315 9,4265 1,80233 1,80233 16,998675395 16,989663745 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-13 9,4295 9,4245 1,81032 1,81032 17,07041244 17,06136084 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-14 9,4365 9,4315 1,80253 1,80253 17,009574345 17,000561695 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-15 9,4345 9,4295 1,78885 1,78885 16,876905325 16,867961075 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-16 9,4765 9,4715 1,77827 1,77827 16,851775655 16,842884305 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-19 9,4535 9,4485 1,74832 1,74832 16,52774312 16,51900152 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-20 9,4015 9,3965 1,77179 1,77179 16,657483685 16,648624735 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-21 9,4485 9,4435 1,8271 1,8271 17,26335435 17,25421885 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-22 9,4365 9,4315 1,83542 1,83542 17,31994083 17,31076373 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-23 9,4425 9,4375 1,82952 1,82952 17,2752426 17,266095 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-27 9,4915 9,4865 1,81631 1,81631 17,239506365 17,230424815 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-28 9,4345 9,4295 1,80215 1,80215 17,002384175 16,993373425 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-29 9,4115 9,4065 1,82376 1,82376 17,16431724 17,15519844 172783 Sampo Fondbolag Ab Mandatum Latin America EUR 2005-12-30 9,4325 9,4275 1,83299 1,83299 17,289678175 17,280513225 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-08-18 9,3365 9,3315 1,06095 1,06095 9,905559675 9,900254925 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-08-19 9,3395 9,3345 1,0598 1,0598 9,8980021 9,8927031 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-08-22 9,3655 9,3605 1,06815 1,06815 10,003758825 9,998418075 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-08-23 9,3715 9,3665 1,06323 1,06323 9,964059945 9,958743795 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-08-24 9,3365 9,3315 1,07237 1,07237 10,012182505 10,006820655 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-08-25 9,3335 9,3285 1,05996 1,05996 9,89313666 9,88783686 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-08-26 9,3415 9,3365 1,06058 1,06058 9,90740807 9,90210517 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-08-29 9,3295 9,3245 1,06577 1,06577 9,943101215 9,937772365 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-08-30 9,3285 9,3235 1,08098 1,08098 10,08392193 10,07851703 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-08-31 9,3585 9,3535 1,08213 1,08213 10,127113605 10,121702955 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-01 9,3365 9,3315 1,10682 1,10682 10,33382493 10,32829083 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-02 9,3025 9,2975 1,10779 1,10779 10,305216475 10,299677525 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-05 9,2845 9,2795 1,11891 1,11891 10,388519895 10,382925345 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-06 9,3225 9,3175 1,11386 1,11386 10,38395985 10,37839055 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-07 9,3075 9,3025 1,12324 1,12324 10,4545563 10,4489401 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-08 9,3255 9,3205 1,11883 1,11883 10,433649165 10,428055015 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-09 9,3445 9,3395 1,11701 1,11701 10,437899945 10,432314895 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-12 9,3015 9,2965 1,12497 1,12497 10,463908455 10,458283605 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-13 9,3015 9,2965 1,13284 1,13284 10,53711126 10,53144706 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-14 9,3365 9,3315 1,1297 1,1297 10,54744405 10,54179555 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-15 9,3425 9,3375 1,14681 1,14681 10,714072425 10,708338375 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-16 9,3465 9,3415 1,16561 1,16561 10,894373865 10,888545815 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-19 9,3355 9,3305 1,17416 1,17416 10,96137068 10,95549988 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-20 9,3395 9,3345 1,18438 1,18438 11,06151701 11,05559511 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-21 9,3405 9,3355 1,17476 1,17476 10,97284578 10,96697198 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-22 9,3405 9,3355 1,17193 1,17193 10,946412165 10,940552515 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-23 9,3695 9,3645 1,18371 1,18371 11,090770845 11,084852295 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-26 9,3815 9,3765 1,19009 1,19009 11,164829335 11,158878885 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-27 9,3885 9,3835 1,20714 1,20714 11,33323389 11,32719819 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-28 9,3935 9,3885 1,20487 1,20487 11,317946345 11,311921995 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-29 9,3845 9,3795 1,20009 1,20009 11,262244605 11,256244155 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-09-30 9,3435 9,3385 1,17197 1,17197 10,950301695 10,944441845 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-03 9,3025 9,2975 1,18182 1,18182 10,99388055 10,98797145 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-04 9,3185 9,3135 1,18589 1,18589 11,050715965 11,044786515 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-05 9,3105 9,3055 1,17371 1,17371 10,927826955 10,921958405 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-06 9,3015 9,2965 1,14787 1,14787 10,676912805 10,671173455 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-07 9,3385 9,3335 1,13823 1,13823 10,629360855 10,623669705 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-10 9,3465 9,3415 1,15345 1,15345 10,780720425 10,774953175 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-11 9,3395 9,3345 1,15965 1,15965 10,830551175 10,824752925 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-12 9,3375 9,3325 1,16135 1,16135 10,844105625 10,838298875 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-13 9,3815 9,3765 1,12836 1,12836 10,58570934 10,58006754 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-14 9,4135 9,4085 1,11156 1,11156 10,46367006 10,45811226 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-17 9,4575 9,4525 1,12772 1,12772 10,6654119 10,6597733 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-18 9,4625 9,4575 1,13371 1,13371 10,727730875 10,722062325 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-19 9,4605 9,4555 1,11114 1,11114 10,51193997 10,50638427 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-20 9,4935 9,4885 1,11587 1,11587 10,593511845 10,587932495 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-21 9,4915 9,4865 1,11697 1,11697 10,601720755 10,596135905 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-24 9,5455 9,5405 1,12277 1,12277 10,717401035 10,711787185 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-25 9,5465 9,5415 1,11372 1,11372 10,63212798 10,62655938 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-26 9,4975 9,4925 1,11604 1,11604 10,5995899 10,5940097 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-27 9,5355 9,5305 1,08822 1,08822 10,37672181 10,37128071 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-28 9,5135 9,5085 1,08662 1,08662 10,33755937 10,33212627 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-10-31 9,5495 9,5445 1,11276 1,11276 10,62630162 10,62073782 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-01 9,5495 9,5445 1,11387 1,11387 10,636901565 10,631332215 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-02 9,5855 9,5805 1,1223 1,1223 10,75780665 10,75219515 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-03 9,6515 9,6465 1,13666 1,13666 10,97047399 10,96479069 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-04 9,5875 9,5825 1,13399 1,13399 10,872129125 10,866459175 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-07 9,6075 9,6025 1,12602 1,12602 10,81823715 10,81260705 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-08 9,5685 9,5635 1,13081 1,13081 10,820155485 10,814501435 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-09 9,5575 9,5525 1,136 1,136 10,85732 10,85164 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-10 9,6105 9,6055 1,12393 1,12393 10,801529265 10,795909615 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-11 9,6365 9,6315 1,13078 1,13078 10,89676147 10,89110757 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-14 9,5505 9,5455 1,14092 1,14092 10,89635646 10,89065186 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-15 9,5805 9,5755 1,13696 1,13696 10,89264528 10,88696048 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-16 9,6235 9,6185 1,14017 1,14017 10,972425995 10,966725145 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-17 9,6355 9,6305 1,15716 1,15716 11,14981518 11,14402938 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-18 9,6085 9,6035 1,16513 1,16513 11,195151605 11,189325955 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-21 9,5915 9,5865 1,16418 1,16418 11,16623247 11,16041157 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-22 9,5585 9,5535 1,15602 1,15602 11,04981717 11,04403707 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-23 9,5155 9,5105 1,15689 1,15689 11,008386795 11,002602345 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-24 9,5125 9,5075 1,16111 1,16111 11,045058875 11,039253325 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-25 9,4965 9,4915 1,16145 1,16145 11,029709925 11,023902675 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-28 9,4835 9,4785 1,17497 1,17497 11,142827995 11,136953145 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-29 9,4785 9,4735 1,1773 1,1773 11,15903805 11,15315155 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-11-30 9,5295 9,5245 1,18408 1,18408 11,28369036 11,27776996 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-01 9,5165 9,5115 1,1861 1,1861 11,28752065 11,28159015 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-02 9,4905 9,4855 1,20295 1,20295 11,416596975 11,410582225 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-05 9,4065 9,4015 1,21043 1,21043 11,385909795 11,379857645 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-07 9,4255 9,4205 1,21396 1,21396 11,44217998 11,43611018 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-08 9,3965 9,3915 1,21081 1,21081 11,377376165 11,371322115 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-12 9,4315 9,4265 1,22344 1,22344 11,53887436 11,53275716 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-13 9,4295 9,4245 1,22649 1,22649 11,565187455 11,559055005 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-14 9,4365 9,4315 1,22844 1,22844 11,59217406 11,58603186 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-15 9,4345 9,4295 1,24091 1,24091 11,707365395 11,701160845 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-16 9,4765 9,4715 1,22458 1,22458 11,60473237 11,59860947 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-19 9,4535 9,4485 1,23778 1,23778 11,70135323 11,69516433 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-20 9,4015 9,3965 1,25773 1,25773 11,824548595 11,818259945 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-21 9,4485 9,4435 1,26865 1,26865 11,986839525 11,980496275 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-22 9,4365 9,4315 1,26832 1,26832 11,96850168 11,96216008 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-23 9,4425 9,4375 1,271 1,271 12,0014175 11,9950625 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-27 9,4915 9,4865 1,28291 1,28291 12,176740265 12,170325715 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-28 9,4345 9,4295 1,27654 1,27654 12,04351663 12,03713393 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-29 9,4115 9,4065 1,27714 1,27714 12,01980311 12,01341741 394437 Sampo Fondbolag Ab Mandatum Poland EUR 2005-12-30 9,4325 9,4275 1,26964 1,26964 11,9758793 11,9695311 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-03 9,0065 9,0015 0,99442 0,99442 8,95624373 8,95127163 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-04 9,0345 9,0295 0,99954 0,99954 9,03034413 9,02534643 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-05 9,0615 9,0565 1,00131 1,00131 9,073370565 9,068364015 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-07 9,0615 9,0565 0,99972 0,99972 9,05896278 9,05396418 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-10 9,08619 9,08119 1,00462 1,00462 9,1281681978 9,1231450978 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-11 9,08619 9,08119 1,00949 1,00949 9,1724179431 9,1673704931 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-12 9,0455 9,0405 1,00375 1,00375 9,079420625 9,074401875 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-13 9,0505 9,0455 0,99731 0,99731 9,026154155 9,021167605 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-14 9,0455 9,0405 1,01173 1,01173 9,151603715 9,146545065 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-17 9,0685 9,0635 0,02086 0,02086 0,18916891 0,18906461 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-18 9,0585 9,0535 1,01486 1,01486 9,19310931 9,18803501 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-19 9,0225 9,0175 1,00284 1,00284 9,0481239 9,0431097 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-20 9,0315 9,0265 1,01061 1,01061 9,127324215 9,122271165 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-21 9,0505 9,0455 1,00762 1,00762 9,11946481 9,11442671 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-24 9,0655 9,0605 1,00645 1,00645 9,123972475 9,118940225 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-25 9,0715 9,0665 1,0192 1,0192 9,2456728 9,2405768 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-26 9,0885 9,0835 1,02481 1,02481 9,313985685 9,308861635 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-27 9,0675 9,0625 1,02868 1,02868 9,3275559 9,3224125 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-28 9,0955 9,0905 1,04744 1,04744 9,52699052 9,52175332 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-01-31 9,1075 9,1025 1,07681 1,07681 9,807047075 9,801663025 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-01 9,1035 9,0985 1,08234 1,08234 9,85308219 9,84767049 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-02 9,0905 9,0855 1,09973 1,09973 9,997095565 9,991596915 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-03 9,0695 9,0645 1,11502 1,11502 10,11267389 10,10709879 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-04 9,0895 9,0845 1,11293 1,11293 10,115977235 10,110412585 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-07 9,0755 9,0705 1,13155 1,13155 10,269382025 10,263724275 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-08 9,0895 9,0845 1,13489 1,13489 10,315582655 10,309908205 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-09 9,0695 9,0645 1,13842 1,13842 10,32490019 10,31920809 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-10 9,0805 9,0755 1,13418 1,13418 10,29892149 10,29325059 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-11 9,0935 9,0885 1,13015 1,13015 10,277019025 10,271368275 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-14 9,1105 9,1055 1,1291 1,1291 10,28666555 10,28102005 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-15 9,0765 9,0715 1,13292 1,13292 10,28294838 10,27728378 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-16 9,0705 9,0655 1,1393 1,1393 10,33402065 10,32832415 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-17 9,0925 9,0875 1,13989 1,13989 10,364449825 10,358750375 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-18 9,0945 9,0895 1,15109 1,15109 10,468588005 10,462832555 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-21 9,1185 9,1135 1,15246 1,15246 10,50870651 10,50294421 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-22 9,0975 9,0925 1,14366 1,14366 10,40444685 10,39872855 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-23 9,1045 9,0995 1,13597 1,13597 10,342438865 10,336759015 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-24 9,0715 9,0665 1,13992 1,13992 10,34078428 10,33508468 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-25 9,0845 9,0795 1,18037 1,18037 10,723071265 10,717169415 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-02-28 9,0505 9,0455 1,19792 1,19792 10,84177496 10,83578536 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-01 9,0565 9,0515 1,21146 1,21146 10,97158749 10,96553019 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-02 9,0645 9,0595 1,21694 1,21694 11,03095263 11,02486793 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-03 9,0675 9,0625 1,20572 1,20572 10,9328661 10,9268375 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-04 9,0415 9,0365 1,20738 1,20738 10,91652627 10,91048937 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-07 9,0425 9,0375 1,20889 1,20889 10,931387825 10,925343375 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-08 9,0345 9,0295 1,20677 1,20677 10,902563565 10,896529715 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-09 9,0365 9,0315 1,20135 1,20135 10,855999275 10,849992525 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-10 9,0655 9,0605 1,19015 1,19015 10,789304825 10,783354075 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-11 9,0795 9,0745 1,17577 1,17577 10,675403715 10,669524865 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-14 9,0695 9,0645 1,18823 1,18823 10,776651985 10,770710835 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-15 9,1035 9,0985 1,18144 1,18144 10,75523904 10,74933184 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-16 9,0975 9,0925 1,17582 1,17582 10,69702245 10,69114335 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-17 9,1045 9,0995 1,16335 1,16335 10,591720075 10,585903325 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-18 9,1035 9,0985 1,17203 1,17203 10,669575105 10,663714955 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-21 9,1265 9,1215 1,17524 1,17524 10,72582786 10,71995166 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-22 9,1265 9,1215 1,17307 1,17307 10,706023355 10,700158005 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-23 9,1165 9,1115 1,17089 1,17089 10,674418685 10,668564235 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-24 9,1135 9,1085 1,18579 1,18579 10,806697165 10,800768215 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-29 9,1315 9,1265 1,1938 1,1938 10,9011847 10,8952157 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-30 9,1425 9,1375 1,18249 1,18249 10,810914825 10,805002375 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-03-31 9,1405 9,1355 1,17879 1,17879 10,774729995 10,768836045 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-01 9,1645 9,1595 1,1885 1,1885 10,89200825 10,88606575 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-04 9,1695 9,1645 1,20412 1,20412 11,04117834 11,03515774 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-05 9,1745 9,1695 1,21327 1,21327 11,131145615 11,125079265 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-06 9,1705 9,1655 1,21637 1,21637 11,154721085 11,148639235 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-07 9,1505 9,1455 1,22806 1,22806 11,23736303 11,23122273 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-08 9,1625 9,1575 1,24165 1,24165 11,376618125 11,370409875 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-11 9,1705 9,1655 1,22634 1,22634 11,24615097 11,24001927 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-12 9,1525 9,1475 1,21156 1,21156 11,0888029 11,0827451 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-13 9,1495 9,1445 1,21916 1,21916 11,15470442 11,14860862 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-14 9,1685 9,1635 1,21433 1,21433 11,133584605 11,127512955 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-15 9,1925 9,1875 1,20633 1,20633 11,089188525 11,083156875 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-18 9,1805 9,1755 1,17386 1,17386 10,77662173 10,77075243 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-19 9,2035 9,1985 1,17154 1,17154 10,78226839 10,77641069 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-20 9,1915 9,1865 1,17461 1,17461 10,796427815 10,790554765 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-21 9,1855 9,1805 1,16907 1,16907 10,738492485 10,732647135 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-22 9,1625 9,1575 1,18083 1,18083 10,819354875 10,813450725 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-25 9,1685 9,1635 1,18932 1,18932 10,90428042 10,89833382 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-26 9,1375 9,1325 1,18675 1,18675 10,843928125 10,837994375 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-27 9,1465 9,1415 1,17677 1,17677 10,763326805 10,757442955 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-28 9,1505 9,1455 1,16977 1,16977 10,703980385 10,698131535 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-04-29 9,1705 9,1655 1,15084 1,15084 10,55377822 10,54802402 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-02 9,1935 9,1885 1,164 1,164 10,701234 10,695414 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-03 9,2245 9,2195 1,16612 1,16612 10,75687394 10,75104334 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-04 9,1915 9,1865 1,15533 1,15533 10,619215695 10,613439045 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-06 9,1715 9,1665 1,16142 1,16142 10,65196353 10,64615643 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-09 9,1815 9,1765 1,17058 1,17058 10,74768027 10,74182737 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-10 9,1985 9,1935 1,16946 1,16946 10,75727781 10,75143051 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-11 9,2105 9,2055 1,15857 1,15857 10,671008985 10,665216135 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-12 9,2315 9,2265 1,15453 1,15453 10,658043695 10,652271045 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-13 9,2045 9,1995 1,15711 1,15711 10,650618995 10,644833445 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-16 9,2145 9,2095 1,15179 1,15179 10,613168955 10,607410005 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-17 9,2325 9,2275 1,14285 1,14285 10,551362625 10,545648375 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-18 9,2095 9,2045 1,15512 1,15512 10,63807764 10,63230204 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-19 9,1905 9,1855 1,15636 1,15636 10,62752658 10,62174478 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-20 9,1955 9,1905 1,16145 1,16145 10,680113475 10,674306225 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-23 9,1805 9,1755 1,16915 1,16915 10,733381575 10,727535825 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-24 9,1815 9,1765 1,17902 1,17902 10,82517213 10,81927703 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-25 9,1785 9,1735 1,18985 1,18985 10,921038225 10,915088975 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-26 9,1945 9,1895 1,18598 1,18598 10,90449311 10,89856321 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-27 9,1955 9,1905 1,19387 1,19387 10,978231585 10,972262235 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-30 9,1905 9,1855 1,19665 1,19665 10,997811825 10,991828575 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-05-31 9,1665 9,1615 1,21581 1,21581 11,144722365 11,138643315 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-01 9,1455 9,1405 1,22508 1,22508 11,20396914 11,19784374 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-02 9,1565 9,1515 1,22241 1,22241 11,192997165 11,186885115 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-03 9,1315 9,1265 1,22216 1,22216 11,16015404 11,15404324 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-07 9,1455 9,1405 1,21739 1,21739 11,133640245 11,127553295 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-08 9,1455 9,1405 1,20936 1,20936 11,06020188 11,05415508 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-09 9,1965 9,1915 1,21418 1,21418 11,16620637 11,16013547 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-10 9,1975 9,1925 1,21766 1,21766 11,19942785 11,19333955 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-13 9,2365 9,2315 1,23513 1,23513 11,408278245 11,402102595 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-14 9,2985 9,2935 1,23352 1,23352 11,46988572 11,46371812 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-15 9,2695 9,2645 1,24574 1,24574 11,54738693 11,54115823 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-16 9,2695 9,2645 1,2365 1,2365 11,46173675 11,45555425 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-17 9,2695 9,2645 1,23014 1,23014 11,40278273 11,39663203 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-20 9,2255 9,2205 1,23551 1,23551 11,398197505 11,392019955 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-21 9,2725 9,2675 1,24839 1,24839 11,575696275 11,569454325 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-22 9,2615 9,2565 1,24955 1,24955 11,572707325 11,566459575 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-23 9,3535 9,3485 1,26698 1,26698 11,85069743 11,84436253 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-27 9,3855 9,3805 1,26554 1,26554 11,87772567 11,87139797 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-28 9,3995 9,3945 1,26724 1,26724 11,91142238 11,90508618 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-29 9,4215 9,4165 1,27819 1,27819 12,042467085 12,036076135 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-06-30 9,4415 9,4365 1,28619 1,28619 12,143562885 12,137131935 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-01 9,4595 9,4545 1,29669 1,29669 12,266039055 12,259555605 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-04 9,4795 9,4745 1,32791 1,32791 12,587922845 12,581283295 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-05 9,4575 9,4525 1,33127 1,33127 12,590486025 12,583829675 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-06 9,4195 9,4145 1,34235 1,34235 12,644265825 12,637554075 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-07 9,3965 9,3915 1,33683 1,33683 12,561523095 12,554838945 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-08 9,4175 9,4125 1,35297 1,35297 12,741594975 12,734830125 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-11 9,4665 9,4615 1,35397 1,35397 12,817357005 12,810587155 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-12 9,4645 9,4595 1,34284 1,34284 12,70930918 12,70259498 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-13 9,3915 9,3865 1,35051 1,35051 12,683314665 12,676562115 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-14 9,3675 9,3625 1,36507 1,36507 12,787293225 12,780467875 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-15 9,4055 9,4005 1,35539 1,35539 12,748120645 12,741343695 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-18 9,3895 9,3845 1,35847 1,35847 12,755354065 12,748561715 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-19 9,4425 9,4375 1,3669 1,3669 12,90695325 12,90011875 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-20 9,4265 9,4215 1,36929 1,36929 12,907612185 12,900765735 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-21 9,4625 9,4575 1,3708 1,3708 12,971195 12,964341 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-22 9,4495 9,4445 1,37958 1,37958 13,03634121 13,02944331 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-25 9,4275 9,4225 1,40979 1,40979 13,290795225 13,283746275 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-26 9,4155 9,4105 1,41442 1,41442 13,31747151 13,31039941 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-27 9,4725 9,4675 1,41107 1,41107 13,366360575 13,359305225 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-28 9,4515 9,4465 1,42342 1,42342 13,45345413 13,44633703 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-07-29 9,3885 9,3835 1,42644 1,42644 13,39213194 13,38499974 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-01 9,3985 9,3935 1,40819 1,40819 13,234873715 13,227832765 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-02 9,3995 9,3945 1,42064 1,42064 13,35330568 13,34620248 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-03 9,3755 9,3705 1,42413 1,42413 13,351930815 13,344810165 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-04 9,3735 9,3685 1,42256 1,42256 13,33436616 13,32725336 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-05 9,3355 9,3305 1,44585 1,44585 13,497732675 13,490503425 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-08 9,3335 9,3285 1,45794 1,45794 13,60768299 13,60039329 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-09 9,3455 9,3405 1,46364 1,46364 13,67844762 13,67112942 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-10 9,3535 9,3485 1,46648 1,46648 13,71672068 13,70938828 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-11 9,3365 9,3315 1,46633 1,46633 13,690390045 13,683058395 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-12 9,3025 9,2975 1,45492 1,45492 13,5343933 13,5271187 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-15 9,3065 9,3015 1,47495 1,47495 13,726622175 13,719247425 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-16 9,2995 9,2945 1,49915 1,49915 13,941345425 13,933849675 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-17 9,3405 9,3355 1,51745 1,51745 14,173741725 14,166154475 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-18 9,3365 9,3315 1,53133 1,53133 14,297262545 14,289605895 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-19 9,3395 9,3345 1,55436 1,55436 14,51694522 14,50917342 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-22 9,3655 9,3605 1,57642 1,57642 14,76396151 14,75607941 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-23 9,3715 9,3665 1,57948 1,57948 14,80209682 14,79419942 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-24 9,3365 9,3315 1,58446 1,58446 14,79331079 14,78538849 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-25 9,3335 9,3285 1,57395 1,57395 14,690462325 14,682592575 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-26 9,3415 9,3365 1,58856 1,58856 14,83953324 14,83159044 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-29 9,3295 9,3245 1,5948 1,5948 14,8786866 14,8707126 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-30 9,3285 9,3235 1,62811 1,62811 15,187824135 15,179683585 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-08-31 9,3585 9,3535 1,61614 1,61614 15,12464619 15,11656549 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-01 9,3365 9,3315 1,62052 1,62052 15,12998498 15,12188238 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-02 9,3025 9,2975 1,62851 1,62851 15,149214275 15,141071725 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-05 9,2845 9,2795 1,63742 1,63742 15,20262599 15,19443889 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-06 9,3225 9,3175 1,62583 1,62583 15,156800175 15,148671025 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-07 9,3075 9,3025 1,61126 1,61126 14,99680245 14,98874615 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-08 9,3255 9,3205 1,63594 1,63594 15,25595847 15,24777877 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-09 9,3445 9,3395 1,6698 1,6698 15,6034461 15,5950971 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-12 9,3015 9,2965 1,7012 1,7012 15,8237118 15,8152058 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-13 9,3015 9,2965 1,70066 1,70066 15,81868899 15,81018569 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-14 9,3365 9,3315 1,68922 1,68922 15,77140253 15,76295643 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-15 9,3425 9,3375 1,7111 1,7111 15,98595175 15,97739625 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-16 9,3465 9,3415 1,72352 1,72352 16,10887968 16,10026208 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-19 9,3355 9,3305 1,7579 1,7579 16,41087545 16,40208595 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-20 9,3395 9,3345 1,76997 1,76997 16,530634815 16,521784965 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-21 9,3405 9,3355 1,76425 1,76425 16,478977125 16,470155875 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-22 9,3405 9,3355 1,774 1,774 16,570047 16,561177 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-23 9,3695 9,3645 1,81492 1,81492 17,00489294 16,99581834 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-26 9,3815 9,3765 1,81815 1,81815 17,056974225 17,047883475 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-27 9,3885 9,3835 1,84011 1,84011 17,275872735 17,266672185 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-28 9,3935 9,3885 1,86132 1,86132 17,48430942 17,47500282 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-29 9,3845 9,3795 1,86817 1,86817 17,531841365 17,522500515 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-09-30 9,3435 9,3385 1,88015 1,88015 17,567181525 17,557780775 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-03 9,3025 9,2975 1,91384 1,91384 17,8034966 17,7939274 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-04 9,3185 9,3135 1,94216 1,94216 18,09801796 18,08830716 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-05 9,3105 9,3055 1,93417 1,93417 18,008089785 17,998418935 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-06 9,3015 9,2965 1,85212 1,85212 17,22749418 17,21823358 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-07 9,3385 9,3335 1,80936 1,80936 16,89670836 16,88766156 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-10 9,3465 9,3415 1,8178 1,8178 16,9900677 16,9809787 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-11 9,3395 9,3345 1,84503 1,84503 17,231657685 17,222432535 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-12 9,3375 9,3325 1,86223 1,86223 17,388572625 17,379261475 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-13 9,3815 9,3765 1,80948 1,80948 16,97563662 16,96658922 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-14 9,4135 9,4085 1,78232 1,78232 16,77786932 16,76895772 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-17 9,4575 9,4525 1,76622 1,76622 16,70402565 16,69519455 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-18 9,4625 9,4575 1,78095 1,78095 16,852239375 16,843334625 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-19 9,4605 9,4555 1,73927 1,73927 16,454363835 16,445667485 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-20 9,4935 9,4885 1,73714 1,73714 16,49153859 16,48285289 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-21 9,4915 9,4865 1,70565 1,70565 16,189176975 16,180648725 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-24 9,5455 9,5405 1,7265 1,7265 16,48030575 16,47167325 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-25 9,5465 9,5415 1,72437 1,72437 16,461698205 16,453076355 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-26 9,4975 9,4925 1,72562 1,72562 16,38907595 16,38044785 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-27 9,5355 9,5305 1,71653 1,71653 16,367971815 16,359389165 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-28 9,5135 9,5085 1,71087 1,71087 16,276361745 16,267807395 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-10-31 9,5495 9,5445 1,76671 1,76671 16,871197145 16,862363595 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-01 9,5495 9,5445 1,79387 1,79387 17,130561565 17,121592215 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-02 9,5855 9,5805 1,80178 1,80178 17,27096219 17,26195329 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-03 9,6515 9,6465 1,80605 1,80605 17,431091575 17,422061325 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-04 9,5875 9,5825 1,84138 1,84138 17,65423075 17,64502385 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-07 9,6075 9,6025 1,84012 1,84012 17,6789529 17,6697523 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-08 9,5685 9,5635 1,85271 1,85271 17,727655635 17,718392085 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-09 9,5575 9,5525 1,84164 1,84164 17,6014743 17,5922661 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-10 9,6105 9,6055 1,82878 1,82878 17,57549019 17,56634629 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-11 9,6365 9,6315 1,82633 1,82633 17,599429045 17,590297395 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-14 9,5505 9,5455 1,83889 1,83889 17,562318945 17,553124495 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-15 9,5805 9,5755 1,85927 1,85927 17,812736235 17,803439885 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-16 9,6235 9,6185 1,84941 1,84941 17,797797135 17,788550085 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-17 9,6355 9,6305 1,86647 1,86647 17,984371685 17,975039335 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-18 9,6085 9,6035 1,87185 1,87185 17,985670725 17,976311475 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-21 9,5915 9,5865 1,86376 1,86376 17,87625404 17,86693524 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-22 9,5585 9,5535 1,88094 1,88094 17,97896499 17,96956029 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-23 9,5155 9,5105 1,87491 1,87491 17,840706105 17,831331555 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-24 9,5125 9,5075 1,87208 1,87208 17,808161 17,7988006 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-25 9,4965 9,4915 1,88191 1,88191 17,871558315 17,862148765 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-28 9,4835 9,4785 1,90288 1,90288 18,04596248 18,03644808 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-29 9,4785 9,4735 1,87851 1,87851 17,805457035 17,796064485 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-11-30 9,5295 9,5245 1,88511 1,88511 17,964155745 17,954730195 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-01 9,5165 9,5115 1,90693 1,90693 18,147299345 18,137764695 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-02 9,4905 9,4855 1,94293 1,94293 18,439377165 18,429662515 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-05 9,4065 9,4015 1,93828 1,93828 18,23243082 18,22273942 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-07 9,4255 9,4205 1,94738 1,94738 18,35503019 18,34529329 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-08 9,3965 9,3915 1,93375 1,93375 18,170481875 18,160813125 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-12 9,4315 9,4265 1,95292 1,95292 18,41896498 18,40920038 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-13 9,4295 9,4245 1,95788 1,95788 18,46182946 18,45204006 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-14 9,4365 9,4315 1,94986 1,94986 18,39985389 18,39010459 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-15 9,4345 9,4295 1,98169 1,98169 18,696254305 18,686345855 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-16 9,4765 9,4715 1,98276 1,98276 18,78962514 18,77971134 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-19 9,4535 9,4485 1,97688 1,97688 18,68843508 18,67855068 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-20 9,4015 9,3965 1,98491 1,98491 18,661131365 18,651206815 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-21 9,4485 9,4435 2,01244 2,01244 19,01453934 19,00447714 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-22 9,4365 9,4315 2,02935 2,02935 19,149961275 19,139814525 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-23 9,4425 9,4375 2,03318 2,03318 19,19830215 19,18813625 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-27 9,4915 9,4865 2,02668 2,02668 19,23623322 19,22609982 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-28 9,4345 9,4295 2,00079 2,00079 18,876453255 18,866449305 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-29 9,4115 9,4065 2,0358 2,0358 19,1599317 19,1497527 101121 Sampo Fondbolag Ab Mandatum Russia EUR 2005-12-30 9,4325 9,4275 2,03439 2,03439 19,189383675 19,179211725 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-08-18 9,3365 9,3315 1,06976 1,06976 9,98781424 9,98246544 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-08-19 9,3395 9,3345 1,06987 1,06987 9,992050865 9,986701515 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-08-22 9,3655 9,3605 1,08776 1,08776 10,18741628 10,18197748 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-08-23 9,3715 9,3665 1,09293 1,09293 10,242393495 10,236928845 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-08-24 9,3365 9,3315 1,09491 1,09491 10,222627215 10,217152665 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-08-25 9,3335 9,3285 1,09478 1,09478 10,21812913 10,21265523 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-08-26 9,3415 9,3365 1,12026 1,12026 10,46490879 10,45930749 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-08-29 9,3295 9,3245 1,11824 1,11824 10,43262008 10,42702888 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-08-30 9,3285 9,3235 1,12622 1,12622 10,50594327 10,50031217 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-08-31 9,3585 9,3535 1,14478 1,14478 10,71342363 10,70769973 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-01 9,3365 9,3315 1,15917 1,15917 10,822590705 10,816794855 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-02 9,3025 9,2975 1,16679 1,16679 10,854063975 10,848230025 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-05 9,2845 9,2795 1,17649 1,17649 10,923121405 10,917238955 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-06 9,3225 9,3175 1,1888 1,1888 11,082588 11,076644 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-07 9,3075 9,3025 1,17875 1,17875 10,971215625 10,965321875 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-08 9,3255 9,3205 1,1847 1,1847 11,04791985 11,04199635 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-09 9,3445 9,3395 1,20148 1,20148 11,22722986 11,22122246 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-12 9,3015 9,2965 1,22643 1,22643 11,407638645 11,401506495 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-13 9,3015 9,2965 1,25317 1,25317 11,656360755 11,650094905 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-14 9,3365 9,3315 1,21635 1,21635 11,356451775 11,350370025 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-15 9,3425 9,3375 1,22937 1,22937 11,485389225 11,479242375 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-16 9,3465 9,3415 1,25685 1,25685 11,747148525 11,740864275 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-19 9,3355 9,3305 1,27002 1,27002 11,85627171 11,84992161 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-20 9,3395 9,3345 1,2953 1,2953 12,09745435 12,09097785 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-21 9,3405 9,3355 1,29056 1,29056 12,05447568 12,04802288 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-22 9,3405 9,3355 1,28591 1,28591 12,011042355 12,004612805 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-23 9,3695 9,3645 1,27744 1,27744 11,96897408 11,96258688 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-26 9,3815 9,3765 1,29373 1,29373 12,137127995 12,130659345 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-27 9,3885 9,3835 1,31077 1,31077 12,306164145 12,299610295 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-28 9,3935 9,3885 1,29055 1,29055 12,122781425 12,116328675 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-29 9,3845 9,3795 1,28927 1,28927 12,099154315 12,092707965 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-09-30 9,3435 9,3385 1,30381 1,30381 12,182148735 12,175629685 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-03 9,3025 9,2975 1,27641 1,27641 11,873804025 11,867421975 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-04 9,3185 9,3135 1,39265 1,39265 12,977409025 12,970445775 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-05 9,3105 9,3055 1,37433 1,37433 12,795699465 12,788827815 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-06 9,3015 9,2965 1,31728 1,31728 12,25267992 12,24609352 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-07 9,3385 9,3335 1,29071 1,29071 12,053295335 12,046841785 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-10 9,3465 9,3415 1,29809 1,29809 12,132598185 12,126107735 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-11 9,3395 9,3345 1,31746 1,31746 12,30441767 12,29783037 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-12 9,3375 9,3325 1,32563 1,32563 12,378070125 12,371441975 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-13 9,3815 9,3765 1,28601 1,28601 12,064702815 12,058272765 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-14 9,4135 9,4085 1,23573 1,23573 11,632544355 11,626365705 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-17 9,4575 9,4525 1,22133 1,22133 11,550728475 11,544621825 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-18 9,4625 9,4575 1,25196 1,25196 11,8466715 11,8404117 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-19 9,4605 9,4555 1,20398 1,20398 11,39025279 11,38423289 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-20 9,4935 9,4885 1,23377 1,23377 11,712795495 11,706626645 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-21 9,4915 9,4865 1,2238 1,2238 11,6156977 11,6095787 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-24 9,5455 9,5405 1,24224 1,24224 11,85780192 11,85159072 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-25 9,5465 9,5415 1,24857 1,24857 11,919473505 11,913230655 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-26 9,4975 9,4925 1,24918 1,24918 11,86408705 11,85784115 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-27 9,5355 9,5305 1,21133 1,21133 11,550637215 11,544580565 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-28 9,5135 9,5085 1,22632 1,22632 11,66659532 11,66046372 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-10-31 9,5495 9,5445 1,25358 1,25358 11,97106221 11,96479431 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-01 9,5495 9,5445 1,28148 1,28148 12,23749326 12,23108586 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-02 9,5855 9,5805 1,313 1,313 12,5857615 12,5791965 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-03 9,6515 9,6465 1,30923 1,30923 12,636033345 12,629487195 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-04 9,5875 9,5825 1,32194 1,32194 12,67409975 12,66749005 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-07 9,6075 9,6025 1,33018 1,33018 12,77970435 12,77305345 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-08 9,5685 9,5635 1,34226 1,34226 12,84341481 12,83670351 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-09 9,5575 9,5525 1,35622 1,35622 12,96207265 12,95529155 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-10 9,6105 9,6055 1,36762 1,36762 13,14351201 13,13667391 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-11 9,6365 9,6315 1,36485 1,36485 13,152377025 13,145552775 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-14 9,5505 9,5455 1,36323 1,36323 13,019528115 13,012711965 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-15 9,5805 9,5755 1,37954 1,37954 13,21668297 13,20978527 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-16 9,6235 9,6185 1,38295 1,38295 13,308819325 13,301904575 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-17 9,6355 9,6305 1,40585 1,40585 13,546067675 13,539038425 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-18 9,6085 9,6035 1,3873 1,3873 13,32987205 13,32293555 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-21 9,5915 9,5865 1,39525 1,39525 13,382540375 13,375564125 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-22 9,5585 9,5535 1,41339 1,41339 13,509888315 13,502821365 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-23 9,5155 9,5105 1,41442 1,41442 13,45891351 13,45184141 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-24 9,5125 9,5075 1,43718 1,43718 13,67117475 13,66398885 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-25 9,4965 9,4915 1,46874 1,46874 13,94788941 13,94054571 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-28 9,4835 9,4785 1,46581 1,46581 13,901009135 13,893680085 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-29 9,4785 9,4735 1,46149 1,46149 13,852732965 13,845425515 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-11-30 9,5295 9,5245 1,50258 1,50258 14,31883611 14,31132321 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-01 9,5165 9,5115 1,51215 1,51215 14,390375475 14,382814725 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-02 9,4905 9,4855 1,55409 1,55409 14,749091145 14,741320695 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-05 9,4065 9,4015 1,55414 1,55414 14,61901791 14,61124721 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-07 9,4255 9,4205 1,54427 1,54427 14,555516885 14,547795535 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-08 9,3965 9,3915 1,5155 1,5155 14,24039575 14,23281825 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-12 9,4315 9,4265 1,52096 1,52096 14,34493424 14,33732944 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-13 9,4295 9,4245 1,51012 1,51012 14,23967654 14,23212594 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-14 9,4365 9,4315 1,52109 1,52109 14,353765785 14,346160335 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-15 9,4345 9,4295 1,50139 1,50139 14,164863955 14,157357005 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-16 9,4765 9,4715 1,49812 1,49812 14,19693418 14,18944358 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-19 9,4535 9,4485 1,50363 1,50363 14,214566205 14,207048055 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-20 9,4015 9,3965 1,50703 1,50703 14,168342545 14,160807395 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-21 9,4485 9,4435 1,53219 1,53219 14,476897215 14,469236265 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-22 9,4365 9,4315 1,55422 1,55422 14,66639703 14,65862593 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-23 9,4425 9,4375 1,587 1,587 14,9852475 14,9773125 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-27 9,4915 9,4865 1,60214 1,60214 15,20671181 15,19870111 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-28 9,4345 9,4295 1,60003 1,60003 15,095483035 15,087482885 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-29 9,4115 9,4065 1,62784 1,62784 15,32041616 15,31227696 358606 Sampo Fondbolag Ab Mandatum Svarta Havet EUR 2005-12-30 9,4325 9,4275 1,63903 1,63903 15,460150475 15,451955325 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-03 9,0065 9,0015 1,24267 1,24267 11,192107355 11,185894005 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-04 9,0345 9,0295 1,24175 1,24175 11,218590375 11,212381625 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-05 9,0615 9,0565 1,23618 1,23618 11,20164507 11,19546417 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-07 9,0615 9,0565 1,23099 1,23099 11,154615885 11,148460935 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-10 9,08619 9,08119 1,24785 1,24785 11,3382021915 11,3319629415 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-11 9,08619 9,08119 1,23877 1,23877 11,2556995863 11,2495057363 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-12 9,0455 9,0405 1,2427 1,2427 11,24084285 11,23462935 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-13 9,0505 9,0455 1,22896 1,22896 11,12270248 11,11655768 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-14 9,0455 9,0405 1,25084 1,25084 11,31447322 11,30821902 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-17 9,0685 9,0635 1,25125 1,25125 11,346960625 11,340704375 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-18 9,0585 9,0535 1,26741 1,26741 11,480833485 11,474496435 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-19 9,0225 9,0175 1,25192 1,25192 11,2954482 11,2891886 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-20 9,0315 9,0265 1,2612 1,2612 11,3905278 11,3842218 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-21 9,0505 9,0455 1,25386 1,25386 11,34805993 11,34179063 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-24 9,0655 9,0605 1,23652 1,23652 11,20967206 11,20348946 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-25 9,0715 9,0665 1,2392 1,2392 11,2414028 11,2352068 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-26 9,0885 9,0835 1,25596 1,25596 11,41479246 11,40851266 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-27 9,0675 9,0625 1,25624 1,25624 11,3909562 11,384675 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-28 9,0955 9,0905 1,25606 1,25606 11,42449373 11,41821343 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-01-31 9,1075 9,1025 1,27263 1,27263 11,590477725 11,584114575 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-01 9,1035 9,0985 1,27804 1,27804 11,63463714 11,62824694 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-02 9,0905 9,0855 1,28173 1,28173 11,651566565 11,645157915 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-03 9,0695 9,0645 1,28194 1,28194 11,62655483 11,62014513 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-04 9,0895 9,0845 1,30573 1,30573 11,868432835 11,861904185 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-07 9,0755 9,0705 1,31415 1,31415 11,926568325 11,919997575 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-08 9,0895 9,0845 1,32524 1,32524 12,04576898 12,03914278 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-09 9,0695 9,0645 1,31014 1,31014 11,88231473 11,87576403 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-10 9,0805 9,0755 1,3103 1,3103 11,89817915 11,89162765 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-11 9,0935 9,0885 1,32001 1,32001 12,003510935 11,996910885 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-14 9,1105 9,1055 1,31223 1,31223 11,955071415 11,948510265 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-15 9,0765 9,0715 1,31275 1,31275 11,915175375 11,908611625 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-16 9,0705 9,0655 1,30831 1,30831 11,867025855 11,860484305 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-17 9,0925 9,0875 1,29632 1,29632 11,7867896 11,780308 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-18 9,0945 9,0895 1,30024 1,30024 11,82503268 11,81853148 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-21 9,1185 9,1135 1,30001 1,30001 11,854141185 11,847641135 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-22 9,0975 9,0925 1,26797 1,26797 11,535357075 11,529017225 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-23 9,1045 9,0995 1,26934 1,26934 11,55670603 11,55035933 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-24 9,0715 9,0665 1,27225 1,27225 11,541215875 11,534854625 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-25 9,0845 9,0795 1,29353 1,29353 11,751073285 11,744605635 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-02-28 9,0505 9,0455 1,27875 1,27875 11,573326875 11,566933125 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-01 9,0565 9,0515 1,294 1,294 11,719111 11,712641 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-02 9,0645 9,0595 1,30112 1,30112 11,79400224 11,78749664 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-03 9,0675 9,0625 1,29275 1,29275 11,722010625 11,715546875 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-04 9,0415 9,0365 1,30594 1,30594 11,80765651 11,80112681 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-07 9,0425 9,0375 1,30267 1,30267 11,779393475 11,772880125 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-08 9,0345 9,0295 1,28689 1,28689 11,626407705 11,619973255 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-09 9,0365 9,0315 1,26496 1,26496 11,43081104 11,42448624 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-10 9,0655 9,0605 1,26067 1,26067 11,428603885 11,422300535 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-11 9,0795 9,0745 1,25836 1,25836 11,42527962 11,41898782 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-14 9,0695 9,0645 1,26483 1,26483 11,471375685 11,465051535 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-15 9,1035 9,0985 1,25622 1,25622 11,43599877 11,42971767 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-16 9,0975 9,0925 1,24991 1,24991 11,371056225 11,364806675 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-17 9,1045 9,0995 1,2488 1,2488 11,3696996 11,3634556 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-18 9,1035 9,0985 1,25115 1,25115 11,389844025 11,383588275 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-21 9,1265 9,1215 1,2593 1,2593 11,49300145 11,48670495 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-22 9,1265 9,1215 1,25496 1,25496 11,45339244 11,44711764 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-23 9,1165 9,1115 1,26271 1,26271 11,511495715 11,505182165 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-24 9,1135 9,1085 1,27638 1,27638 11,63228913 11,62590723 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-29 9,1315 9,1265 1,27018 1,27018 11,59864867 11,59229777 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-30 9,1425 9,1375 1,28074 1,28074 11,70916545 11,70276175 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-03-31 9,1405 9,1355 1,27937 1,27937 11,694081485 11,687684635 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-01 9,1645 9,1595 1,27463 1,27463 11,681346635 11,674973485 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-04 9,1695 9,1645 1,28008 1,28008 11,73769356 11,73129316 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-05 9,1745 9,1695 1,28697 1,28697 11,807306265 11,800871415 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-06 9,1705 9,1655 1,27761 1,27761 11,716322505 11,709934455 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-07 9,1505 9,1455 1,27962 1,27962 11,70916281 11,70276471 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-08 9,1625 9,1575 1,27705 1,27705 11,700970625 11,694585375 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-11 9,1705 9,1655 1,25955 1,25955 11,550703275 11,544405525 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-12 9,1525 9,1475 1,26552 1,26552 11,5826718 11,5763442 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-13 9,1495 9,1445 1,25557 1,25557 11,487837715 11,481559865 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-14 9,1685 9,1635 1,25409 1,25409 11,498124165 11,491853715 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-15 9,1925 9,1875 1,23591 1,23591 11,361102675 11,354923125 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-18 9,1805 9,1755 1,21961 1,21961 11,196629605 11,190531555 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-19 9,2035 9,1985 1,2268 1,2268 11,2908538 11,2847198 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-20 9,1915 9,1865 1,20298 1,20298 11,05719067 11,05117577 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-21 9,1855 9,1805 1,22009 1,22009 11,207136695 11,201036245 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-22 9,1625 9,1575 1,21246 1,21246 11,10916475 11,10310245 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-25 9,1685 9,1635 1,2346 1,2346 11,3194301 11,3132571 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-26 9,1375 9,1325 1,21581 1,21581 11,109463875 11,103384825 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-27 9,1465 9,1415 1,22351 1,22351 11,190834215 11,184716665 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-28 9,1505 9,1455 1,2053 1,2053 11,02909765 11,02307115 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-04-29 9,1705 9,1655 1,21176 1,21176 11,11244508 11,10638628 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-02 9,1935 9,1885 1,22576 1,22576 11,26902456 11,26289576 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-03 9,2245 9,2195 1,2338 1,2338 11,3811881 11,3750191 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-04 9,1915 9,1865 1,24179 1,24179 11,413912785 11,407703835 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-06 9,1715 9,1665 1,24525 1,24525 11,420810375 11,414584125 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-09 9,1815 9,1765 1,26344 1,26344 11,60027436 11,59395716 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-10 9,1985 9,1935 1,24907 1,24907 11,489570395 11,483325045 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-11 9,2105 9,2055 1,24804 1,24804 11,49507242 11,48883222 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-12 9,2315 9,2265 1,24732 1,24732 11,51463458 11,50839798 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-13 9,2045 9,1995 1,25854 1,25854 11,58423143 11,57793873 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-16 9,2145 9,2095 1,28114 1,28114 11,80506453 11,79865883 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-17 9,2325 9,2275 1,27621 1,27621 11,782608825 11,776227775 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-18 9,2095 9,2045 1,30348 1,30348 12,00439906 11,99788166 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-19 9,1905 9,1855 1,30404 1,30404 11,98477962 11,97825942 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-20 9,1955 9,1905 1,30399 1,30399 11,990840045 11,984320095 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-23 9,1805 9,1755 1,31801 1,31801 12,099990805 12,093400755 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-24 9,1815 9,1765 1,31106 1,31106 12,03749739 12,03094209 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-25 9,1785 9,1735 1,30373 1,30373 11,966285805 11,959767155 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-26 9,1945 9,1895 1,32324 1,32324 12,16653018 12,15991398 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-27 9,1955 9,1905 1,32484 1,32484 12,18256622 12,17594202 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-30 9,1905 9,1855 1,32854 1,32854 12,20994687 12,20330417 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-05-31 9,1665 9,1615 1,34815 1,34815 12,357816975 12,351076225 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-01 9,1455 9,1405 1,36877 1,36877 12,518086035 12,511242185 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-02 9,1565 9,1515 1,36898 1,36898 12,53506537 12,52822047 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-03 9,1315 9,1265 1,35593 1,35593 12,381674795 12,374895145 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-07 9,1455 9,1405 1,35853 1,35853 12,424436115 12,417643465 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-08 9,1455 9,1405 1,34934 1,34934 12,34038897 12,33364227 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-09 9,1965 9,1915 1,3679 1,3679 12,57989235 12,57305285 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-10 9,1975 9,1925 1,3658 1,3658 12,5619455 12,5551165 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-13 9,2365 9,2315 1,38968 1,38968 12,83577932 12,82883092 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-14 9,2985 9,2935 1,39245 1,39245 12,947696325 12,940734075 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-15 9,2695 9,2645 1,405 1,405 13,0236475 13,0166225 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-16 9,2695 9,2645 1,41119 1,41119 13,081025705 13,073969755 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-17 9,2695 9,2645 1,40262 1,40262 13,00158609 12,99457299 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-20 9,2255 9,2205 1,395 1,395 12,8695725 12,8625975 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-21 9,2725 9,2675 1,40924 1,40924 13,0671779 13,0601317 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-22 9,2615 9,2565 1,40606 1,40606 13,02222469 13,01519439 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-23 9,3535 9,3485 1,38839 1,38839 12,986305865 12,979363915 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-27 9,3855 9,3805 1,36772 1,36772 12,83673606 12,82989746 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-28 9,3995 9,3945 1,39565 1,39565 13,118412175 13,111433925 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-29 9,4215 9,4165 1,40609 1,40609 13,247476935 13,240446485 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-06-30 9,4415 9,4365 1,40455 1,40455 13,261058825 13,254036075 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-01 9,4595 9,4545 1,40819 1,40819 13,320773305 13,313732355 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-04 9,4795 9,4745 1,44244 1,44244 13,67360998 13,66639778 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-05 9,4575 9,4525 1,43958 1,43958 13,61482785 13,60762995 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-06 9,4195 9,4145 1,42935 1,42935 13,463762325 13,456615575 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-07 9,3965 9,3915 1,41848 1,41848 13,32874732 13,32165492 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-08 9,4175 9,4125 1,4488 1,4488 13,644074 13,63683 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-11 9,4665 9,4615 1,45027 1,45027 13,728980955 13,721729605 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-12 9,4645 9,4595 1,43154 1,43154 13,54881033 13,54165263 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-13 9,3915 9,3865 1,42895 1,42895 13,419983925 13,412839175 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-14 9,3675 9,3625 1,44183 1,44183 13,506342525 13,499133375 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-15 9,4055 9,4005 1,43939 1,43939 13,538182645 13,530985695 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-18 9,3895 9,3845 1,43349 1,43349 13,459754355 13,452586905 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-19 9,4425 9,4375 1,46054 1,46054 13,79114895 13,78384625 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-20 9,4265 9,4215 1,45615 1,45615 13,726397975 13,719117225 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-21 9,4625 9,4575 1,43363 1,43363 13,565723875 13,558555725 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-22 9,4495 9,4445 1,44752 1,44752 13,67834024 13,67110264 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-25 9,4275 9,4225 1,44593 1,44593 13,631505075 13,624275425 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-26 9,4155 9,4105 1,45773 1,45773 13,725256815 13,717968165 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-27 9,4725 9,4675 1,46432 1,46432 13,8707712 13,8634496 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-28 9,4515 9,4465 1,4622 1,4622 13,8199833 13,8126723 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-07-29 9,3885 9,3835 1,45787 1,45787 13,687212495 13,679923145 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-01 9,3985 9,3935 1,44246 1,44246 13,55696031 13,54974801 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-02 9,3995 9,3945 1,44917 1,44917 13,621473415 13,614227565 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-03 9,3755 9,3705 1,44168 1,44168 13,51647084 13,50926244 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-04 9,3735 9,3685 1,42631 1,42631 13,369516785 13,362385235 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-05 9,3355 9,3305 1,41157 1,41157 13,177711735 13,170653885 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-08 9,3335 9,3285 1,40115 1,40115 13,077633525 13,070627775 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-09 9,3455 9,3405 1,41305 1,41305 13,205658775 13,198593525 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-10 9,3535 9,3485 1,40368 1,40368 13,12932088 13,12230248 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-11 9,3365 9,3315 1,41715 1,41715 13,231220975 13,224135225 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-12 9,3025 9,2975 1,4063 1,4063 13,08210575 13,07507425 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-15 9,3065 9,3015 1,4276 1,4276 13,2859594 13,2788214 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-16 9,2995 9,2945 1,41744 1,41744 13,18148328 13,17439608 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-17 9,3405 9,3355 1,42489 1,42489 13,309185045 13,302060595 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-18 9,3365 9,3315 1,4273 1,4273 13,32598645 13,31884995 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-19 9,3395 9,3345 1,43664 1,43664 13,41749928 13,41031608 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-22 9,3655 9,3605 1,4376 1,4376 13,4638428 13,4566548 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-23 9,3715 9,3665 1,42999 1,42999 13,401151285 13,394001335 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-24 9,3365 9,3315 1,43008 1,43008 13,35194192 13,34479152 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-25 9,3335 9,3285 1,42405 1,42405 13,291370675 13,284250425 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-26 9,3415 9,3365 1,40885 1,40885 13,160772275 13,153728025 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-29 9,3295 9,3245 1,41824 1,41824 13,23147008 13,22437888 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-30 9,3285 9,3235 1,42586 1,42586 13,30113501 13,29400571 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-08-31 9,3585 9,3535 1,44361 1,44361 13,510024185 13,502806135 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-01 9,3365 9,3315 1,42051 1,42051 13,262591615 13,255489065 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-02 9,3025 9,2975 1,39454 1,39454 12,97270835 12,96573565 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-05 9,2845 9,2795 1,39508 1,39508 12,95262026 12,94564486 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-06 9,3225 9,3175 1,41603 1,41603 13,200939675 13,193859525 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-07 9,3075 9,3025 1,42239 1,42239 13,238894925 13,231782975 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-08 9,3255 9,3205 1,42107 1,42107 13,252188285 13,245082935 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-09 9,3445 9,3395 1,43675 1,43675 13,425710375 13,418526625 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-12 9,3015 9,2965 1,45376 1,45376 13,52214864 13,51487984 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-13 9,3015 9,2965 1,44631 1,44631 13,452852465 13,445620915 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-14 9,3365 9,3315 1,43639 1,43639 13,410855235 13,403673285 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-15 9,3425 9,3375 1,44585 1,44585 13,507853625 13,500624375 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-16 9,3465 9,3415 1,45081 1,45081 13,559995665 13,552741615 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-19 9,3355 9,3305 1,44947 1,44947 13,531527185 13,524279835 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-20 9,3395 9,3345 1,43678 1,43678 13,41880681 13,41162291 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-21 9,3405 9,3355 1,41078 1,41078 13,17739059 13,17033669 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-22 9,3405 9,3355 1,41157 1,41157 13,184769585 13,177711735 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-23 9,3695 9,3645 1,42758 1,42758 13,37571081 13,36857291 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-26 9,3815 9,3765 1,44105 1,44105 13,519210575 13,512005325 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-27 9,3885 9,3835 1,44349 1,44349 13,552205865 13,544988415 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-28 9,3935 9,3885 1,43709 1,43709 13,499304915 13,492119465 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-29 9,3845 9,3795 1,45145 1,45145 13,621132525 13,613875275 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-09-30 9,3435 9,3385 1,46325 1,46325 13,671876375 13,664560125 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-03 9,3025 9,2975 1,48044 1,48044 13,7717931 13,7643909 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-04 9,3185 9,3135 1,46366 1,46366 13,63911571 13,63179741 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-05 9,3105 9,3055 1,4327 1,4327 13,33915335 13,33198985 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-06 9,3015 9,2965 1,41827 1,41827 13,192038405 13,184947055 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-07 9,3385 9,3335 1,4135 1,4135 13,19996975 13,19290225 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-10 9,3465 9,3415 1,40911 1,40911 13,170246615 13,163201065 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-11 9,3395 9,3345 1,40531 1,40531 13,124892745 13,117866195 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-12 9,3375 9,3325 1,39537 1,39537 13,029267375 13,022290525 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-13 9,3815 9,3765 1,39984 1,39984 13,13259896 13,12559976 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-14 9,4135 9,4085 1,40806 1,40806 13,25477281 13,24773251 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-17 9,4575 9,4525 1,41096 1,41096 13,3441542 13,3370994 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-18 9,4625 9,4575 1,41095 1,41095 13,351114375 13,344059625 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-19 9,4605 9,4555 1,42516 1,42516 13,48272618 13,47560038 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-20 9,4935 9,4885 1,40873 1,40873 13,373778255 13,366734605 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-21 9,4915 9,4865 1,40969 1,40969 13,380072635 13,373024185 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-24 9,5455 9,5405 1,43505 1,43505 13,698269775 13,691094525 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-25 9,5465 9,5415 1,41331 1,41331 13,492163915 13,485097365 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-26 9,4975 9,4925 1,4022 1,4022 13,3173945 13,3103835 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-27 9,5355 9,5305 1,38624 1,38624 13,21849152 13,21156032 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-28 9,5135 9,5085 1,39925 1,39925 13,311764875 13,304768625 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-10-31 9,5495 9,5445 1,42476 1,42476 13,60574562 13,59862182 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-01 9,5495 9,5445 1,42563 1,42563 13,614053685 13,606925535 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-02 9,5855 9,5805 1,45562 1,45562 13,95284551 13,94556741 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-03 9,6515 9,6465 1,44995 1,44995 13,994192425 13,986942675 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-04 9,5875 9,5825 1,46962 1,46962 14,08998175 14,08263365 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-07 9,6075 9,6025 1,49235 1,49235 14,337752625 14,330290875 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-08 9,5685 9,5635 1,49621 1,49621 14,316485385 14,309004335 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-09 9,5575 9,5525 1,50136 1,50136 14,3492482 14,3417414 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-10 9,6105 9,6055 1,50951 1,50951 14,507145855 14,499598305 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-11 9,6365 9,6315 1,52037 1,52037 14,651045505 14,643443655 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-14 9,5505 9,5455 1,51235 1,51235 14,443698675 14,436136925 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-15 9,5805 9,5755 1,51333 1,51333 14,498458065 14,490891415 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-16 9,6235 9,6185 1,50609 1,50609 14,493857115 14,486326665 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-17 9,6355 9,6305 1,52591 1,52591 14,702905805 14,695276255 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-18 9,6085 9,6035 1,53742 1,53742 14,77230007 14,76461297 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-21 9,5915 9,5865 1,5278 1,5278 14,6538937 14,6462547 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-22 9,5585 9,5535 1,547 1,547 14,7869995 14,7792645 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-23 9,5155 9,5105 1,53993 1,53993 14,653203915 14,645504265 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-24 9,5125 9,5075 1,53695 1,53695 14,620236875 14,612552125 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-25 9,4965 9,4915 1,5422 1,5422 14,6455023 14,6377913 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-28 9,4835 9,4785 1,52901 1,52901 14,500366335 14,492721285 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-29 9,4785 9,4735 1,51831 1,51831 14,391301335 14,383709785 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-11-30 9,5295 9,5245 1,52627 1,52627 14,544589965 14,536958615 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-01 9,5165 9,5115 1,546 1,546 14,712509 14,704779 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-02 9,4905 9,4855 1,55198 1,55198 14,72906619 14,72130629 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-05 9,4065 9,4015 1,53374 1,53374 14,42712531 14,41945661 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-07 9,4255 9,4205 1,52804 1,52804 14,40254102 14,39490082 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-08 9,3965 9,3915 1,5162 1,5162 14,2469733 14,2393923 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-12 9,4315 9,4265 1,50136 1,50136 14,16007684 14,15257004 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-13 9,4295 9,4245 1,50691 1,50691 14,209407845 14,201873295 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-14 9,4365 9,4315 1,50346 1,50346 14,18740029 14,17988299 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-15 9,4345 9,4295 1,48855 1,48855 14,043724975 14,036282225 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-16 9,4765 9,4715 1,49312 1,49312 14,14955168 14,14208608 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-19 9,4535 9,4485 1,46828 1,46828 13,88038498 13,87304358 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-20 9,4015 9,3965 1,46961 1,46961 13,816538415 13,809190365 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-21 9,4485 9,4435 1,49193 1,49193 14,096500605 14,089040955 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-22 9,4365 9,4315 1,50227 1,50227 14,176170855 14,168659505 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-23 9,4425 9,4375 1,50653 1,50653 14,225409525 14,217876875 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-27 9,4915 9,4865 1,48757 1,48757 14,119270655 14,111832805 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-28 9,4345 9,4295 1,48726 1,48726 14,03155447 14,02411817 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-29 9,4115 9,4065 1,49621 1,49621 14,081580415 14,074099365 136952 Sampo Fondbolag Ab Mandatum US Small Cap Value EUR 2005-12-30 9,4325 9,4275 1,48284 1,48284 13,9868883 13,9794741 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-03 9,0065 9,0015 1,92175 1,92175 17,308241375 17,298632625 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-04 9,0345 9,0295 1,91917 1,91917 17,338741365 17,329145515 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-05 9,0615 9,0565 1,90925 1,90925 17,300668875 17,291122625 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-07 9,0615 9,0565 1,90066 1,90066 17,22283059 17,21332729 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-10 9,08619 9,08119 1,89864 1,89864 17,2514037816 17,2419105816 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-11 9,08619 9,08119 1,90529 1,90529 17,3118269451 17,3023004951 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-12 9,0455 9,0405 1,90331 1,90331 17,216390605 17,206874055 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-13 9,0505 9,0455 1,90528 1,90528 17,24373664 17,23421024 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-14 9,0455 9,0405 1,91543 1,91543 17,326022065 17,316444915 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-17 9,0685 9,0635 1,93146 1,93146 17,51544501 17,50578771 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-18 9,0585 9,0535 1,91493 1,91493 17,346393405 17,336818755 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-19 9,0225 9,0175 1,90012 1,90012 17,1438327 17,1343321 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-20 9,0315 9,0265 1,88426 1,88426 17,01769419 17,00827289 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-21 9,0505 9,0455 1,89938 1,89938 17,19033869 17,18084179 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-24 9,0655 9,0605 1,89409 1,89409 17,170872895 17,161402445 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-25 9,0715 9,0665 1,91598 1,91598 17,38081257 17,37123267 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-26 9,0885 9,0835 1,93836 1,93836 17,61678486 17,60709306 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-27 9,0675 9,0625 1,94912 1,94912 17,6736456 17,6639 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-28 9,0955 9,0905 1,95823 1,95823 17,811080965 17,801289815 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-01-31 9,1075 9,1025 1,9647 1,9647 17,89350525 17,88368175 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-01 9,1035 9,0985 1,97822 1,97822 18,00872577 17,99883467 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-02 9,0905 9,0855 1,98838 1,98838 18,07536839 18,06542649 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-03 9,0695 9,0645 2,01603 2,01603 18,284384085 18,274303935 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-04 9,0895 9,0845 2,03156 2,03156 18,46586462 18,45570682 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-07 9,0755 9,0705 2,05835 2,05835 18,680555425 18,670263675 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-08 9,0895 9,0845 2,07107 2,07107 18,824990765 18,814635415 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-09 9,0695 9,0645 2,05398 2,05398 18,62857161 18,61830171 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-10 9,0805 9,0755 2,05489 2,05489 18,659428645 18,649154195 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-11 9,0935 9,0885 2,05284 2,05284 18,66750054 18,65723634 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-14 9,1105 9,1055 2,05205 2,05205 18,695201525 18,684941275 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-15 9,0765 9,0715 2,05867 2,05867 18,685518255 18,675224905 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-16 9,0705 9,0655 2,09111 2,09111 18,967413255 18,956957705 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-17 9,0925 9,0875 2,11514 2,11514 19,23191045 19,22133475 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-18 9,0945 9,0895 2,11544 2,11544 19,23886908 19,22829188 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-21 9,1185 9,1135 2,12882 2,12882 19,41164517 19,40100107 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-22 9,0975 9,0925 2,11608 2,11608 19,2510378 19,2404574 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-23 9,1045 9,0995 2,10999 2,10999 19,210403955 19,199854005 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-24 9,0715 9,0665 2,13075 2,13075 19,329098625 19,318444875 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-25 9,0845 9,0795 2,18319 2,18319 19,833189555 19,822273605 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-02-28 9,0505 9,0455 2,22496 2,22496 20,13700048 20,12587568 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-01 9,0565 9,0515 2,22598 2,22598 20,15958787 20,14845797 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-02 9,0645 9,0595 2,18689 2,18689 19,823064405 19,812129955 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-03 9,0675 9,0625 2,1657 2,1657 19,63748475 19,62665625 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-04 9,0415 9,0365 2,17295 2,17295 19,646727425 19,635862675 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-07 9,0425 9,0375 2,22176 2,22176 20,0902648 20,079156 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-08 9,0345 9,0295 2,21898 2,21898 20,04737481 20,03627991 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-09 9,0365 9,0315 2,21702 2,21702 20,03410123 20,02301613 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-10 9,0655 9,0605 2,1702 2,1702 19,6739481 19,6630971 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-11 9,0795 9,0745 2,15472 2,15472 19,56378024 19,55300664 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-14 9,0695 9,0645 2,12548 2,12548 19,27704086 19,26641346 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-15 9,1035 9,0985 2,12619 2,12619 19,355770665 19,345139715 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-16 9,0975 9,0925 2,03102 2,03102 18,47720445 18,46704935 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-17 9,1045 9,0995 2,0066 2,0066 18,2690897 18,2590567 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-18 9,1035 9,0985 2,02048 2,02048 18,39343968 18,38333728 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-21 9,1265 9,1215 1,98873 1,98873 18,150144345 18,140200695 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-22 9,1265 9,1215 1,97803 1,97803 18,052490795 18,042600645 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-23 9,1165 9,1115 1,96011 1,96011 17,869342815 17,859542265 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-24 9,1135 9,1085 1,98851 1,98851 18,122285885 18,112343335 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-29 9,1315 9,1265 1,96189 1,96189 17,914998535 17,905189085 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-30 9,1425 9,1375 1,99154 1,99154 18,20765445 18,19769675 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-03-31 9,1405 9,1355 2,01724 2,01724 18,43858222 18,42849602 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-01 9,1645 9,1595 2,03905 2,03905 18,686873725 18,676678475 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-04 9,1695 9,1645 2,01509 2,01509 18,477367755 18,467292305 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-05 9,1745 9,1695 2,02973 2,02973 18,621757885 18,611609235 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-06 9,1705 9,1655 2,04818 2,04818 18,78283469 18,77259379 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-07 9,1505 9,1455 2,05177 2,05177 18,774721385 18,764462535 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-08 9,1625 9,1575 2,04618 2,04618 18,74812425 18,73789335 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-11 9,1705 9,1655 2,03529 2,03529 18,664626945 18,654450495 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-12 9,1525 9,1475 2,04657 2,04657 18,731231925 18,720999075 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-13 9,1495 9,1445 2,04716 2,04716 18,73049042 18,72025462 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-14 9,1685 9,1635 2,02866 2,02866 18,59976921 18,58962591 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-15 9,1925 9,1875 1,99103 1,99103 18,302543275 18,292588125 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-18 9,1805 9,1755 1,94146 1,94146 17,82357353 17,81386623 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-19 9,2035 9,1985 1,93916 1,93916 17,84705906 17,83736326 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-20 9,1915 9,1865 1,95936 1,95936 18,00945744 17,99966064 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-21 9,1855 9,1805 1,94791 1,94791 17,892527305 17,882787755 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-22 9,1625 9,1575 1,95911 1,95911 17,950345375 17,940549825 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-25 9,1685 9,1635 1,95234 1,95234 17,90002929 17,89026759 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-26 9,1375 9,1325 1,94934 1,94934 17,81209425 17,80234755 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-27 9,1465 9,1415 1,91459 1,91459 17,511797435 17,502224485 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-28 9,1505 9,1455 1,8904 1,8904 17,2981052 17,2886532 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-04-29 9,1705 9,1655 1,86705 1,86705 17,121782025 17,112446775 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-02 9,1935 9,1885 1,88047 1,88047 17,288100945 17,278698595 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-03 9,2245 9,2195 1,89421 1,89421 17,473140145 17,463669095 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-04 9,1915 9,1865 1,90037 1,90037 17,467250855 17,457749005 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-06 9,1715 9,1665 1,90746 1,90746 17,49426939 17,48473209 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-09 9,1815 9,1765 1,92153 1,92153 17,642527695 17,632920045 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-10 9,1985 9,1935 1,90109 1,90109 17,487176365 17,477670915 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-11 9,2105 9,2055 1,87234 1,87234 17,24518757 17,23582587 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-12 9,2315 9,2265 1,89518 1,89518 17,49535417 17,48587827 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-13 9,2045 9,1995 1,85995 1,85995 17,119909775 17,110610025 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-16 9,2145 9,2095 1,84848 1,84848 17,03281896 17,02357656 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-17 9,2325 9,2275 1,8464 1,8464 17,046888 17,037656 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-18 9,2095 9,2045 1,87786 1,87786 17,29415167 17,28476237 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-19 9,1905 9,1855 1,90825 1,90825 17,537771625 17,528230375 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-20 9,1955 9,1905 1,92037 1,92037 17,658762335 17,649160485 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-23 9,1805 9,1755 1,92346 1,92346 17,65832453 17,64870723 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-24 9,1815 9,1765 1,91382 1,91382 17,57173833 17,56216923 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-25 9,1785 9,1735 1,90577 1,90577 17,492109945 17,482581095 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-26 9,1945 9,1895 1,91746 1,91746 17,63008597 17,62049867 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-27 9,1955 9,1905 1,94026 1,94026 17,84166083 17,83195953 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-30 9,1905 9,1855 1,94645 1,94645 17,888848725 17,879116475 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-05-31 9,1665 9,1615 1,96611 1,96611 18,022347315 18,012516765 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-01 9,1455 9,1405 1,95492 1,95492 17,87872086 17,86894626 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-02 9,1565 9,1515 1,96111 1,96111 17,956903715 17,947098165 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-03 9,1315 9,1265 1,96703 1,96703 17,961934445 17,952099295 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-07 9,1455 9,1405 1,9993 1,9993 18,28459815 18,27460165 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-08 9,1455 9,1405 2,00222 2,00222 18,31130301 18,30129191 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-09 9,1965 9,1915 2,00181 2,00181 18,409645665 18,399636615 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-10 9,1975 9,1925 2,02406 2,02406 18,61629185 18,60617155 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-13 9,2365 9,2315 2,03664 2,03664 18,81142536 18,80124216 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-14 9,2985 9,2935 2,03359 2,03359 18,909336615 18,899168665 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-15 9,2695 9,2645 2,02924 2,02924 18,81004018 18,79989398 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-16 9,2695 9,2645 2,0603 2,0603 19,09795085 19,08764935 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-17 9,2695 9,2645 2,06646 2,06646 19,15505097 19,14471867 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-20 9,2255 9,2205 2,06348 2,06348 19,03663474 19,02631734 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-21 9,2725 9,2675 2,07675 2,07675 19,256664375 19,246280625 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-22 9,2615 9,2565 2,07769 2,07769 19,242525935 19,232137485 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-23 9,3535 9,3485 2,09268 2,09268 19,57388238 19,56341898 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-27 9,3855 9,3805 2,04284 2,04284 19,17307482 19,16286062 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-28 9,3995 9,3945 2,0615 2,0615 19,37706925 19,36676175 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-29 9,4215 9,4165 2,06863 2,06863 19,489597545 19,479254395 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-06-30 9,4415 9,4365 2,07895 2,07895 19,628406425 19,618011675 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-01 9,4595 9,4545 2,09393 2,09393 19,807530835 19,797061185 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-04 9,4795 9,4745 2,1166 2,1166 20,0643097 20,0537267 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-05 9,4575 9,4525 2,11793 2,11793 20,030322975 20,019733325 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-06 9,4195 9,4145 2,10747 2,10747 19,851313665 19,840776315 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-07 9,3965 9,3915 2,04277 2,04277 19,194888305 19,184674455 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-08 9,4175 9,4125 2,11407 2,11407 19,909254225 19,898683875 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-11 9,4665 9,4615 2,11037 2,11037 19,977817605 19,967265755 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-12 9,4645 9,4595 2,10588 2,10588 19,93110126 19,92057186 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-13 9,3915 9,3865 2,12148 2,12148 19,92387942 19,91327202 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-14 9,3675 9,3625 2,12528 2,12528 19,9085604 19,897934 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-15 9,4055 9,4005 2,13045 2,13045 20,037947475 20,027295225 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-18 9,3895 9,3845 2,12361 2,12361 19,939636095 19,929018045 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-19 9,4425 9,4375 2,12027 2,12027 20,020649475 20,010048125 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-20 9,4265 9,4215 2,1363 2,1363 20,13783195 20,12715045 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-21 9,4625 9,4575 2,1337 2,1337 20,19013625 20,17946775 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-22 9,4495 9,4445 2,11612 2,11612 19,99627594 19,98569534 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-25 9,4275 9,4225 2,13625 2,13625 20,139496875 20,128815625 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-26 9,4155 9,4105 2,13324 2,13324 20,08552122 20,07485502 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-27 9,4725 9,4675 2,15817 2,15817 20,443265325 20,432474475 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-28 9,4515 9,4465 2,17838 2,17838 20,58895857 20,57806667 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-07-29 9,3885 9,3835 2,19759 2,19759 20,632073715 20,621085765 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-01 9,3985 9,3935 2,22126 2,22126 20,87651211 20,86540581 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-02 9,3995 9,3945 2,24529 2,24529 21,104603355 21,093376905 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-03 9,3755 9,3705 2,22965 2,22965 20,904083575 20,892935325 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-04 9,3735 9,3685 2,2223 2,2223 20,83072905 20,81961755 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-05 9,3355 9,3305 2,23111 2,23111 20,828527405 20,817371855 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-08 9,3335 9,3285 2,24738 2,24738 20,97592123 20,96468433 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-09 9,3455 9,3405 2,26015 2,26015 21,122231825 21,110931075 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-10 9,3535 9,3485 2,26975 2,26975 21,230106625 21,218757875 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-11 9,3365 9,3315 2,25689 2,25689 21,071453485 21,060169035 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-12 9,3025 9,2975 2,23185 2,23185 20,761784625 20,750625375 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-15 9,3065 9,3015 2,22876 2,22876 20,74195494 20,73081114 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-16 9,2995 9,2945 2,25881 2,25881 21,005803595 20,994509545 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-17 9,3405 9,3355 2,2549 2,2549 21,06189345 21,05061895 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-18 9,3365 9,3315 2,23755 2,23755 20,890885575 20,879697825 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-19 9,3395 9,3345 2,22933 2,22933 20,820827535 20,809680885 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-22 9,3655 9,3605 2,24492 2,24492 21,02479826 21,01357366 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-23 9,3715 9,3665 2,23987 2,23987 20,990941705 20,979742355 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-24 9,3365 9,3315 2,2614 2,2614 21,1135611 21,1022541 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-25 9,3335 9,3285 2,24313 2,24313 20,936253855 20,925038205 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-26 9,3415 9,3365 2,25672 2,25672 21,08114988 21,06986628 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-29 9,3295 9,3245 2,2641 2,2641 21,12292095 21,11160045 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-30 9,3285 9,3235 2,30134 2,30134 21,46805019 21,45654349 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-08-31 9,3585 9,3535 2,32068 2,32068 21,71808378 21,70648038 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-01 9,3365 9,3315 2,39089 2,39089 22,322544485 22,310590035 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-02 9,3025 9,2975 2,41194 2,41194 22,43707185 22,42501215 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-05 9,2845 9,2795 2,4024 2,4024 22,3050828 22,2930708 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-06 9,3225 9,3175 2,38071 2,38071 22,194168975 22,182265425 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-07 9,3075 9,3025 2,39924 2,39924 22,3309263 22,3189301 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-08 9,3255 9,3205 2,38418 2,38418 22,23367059 22,22174969 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-09 9,3445 9,3395 2,41629 2,41629 22,579021905 22,566940455 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-12 9,3015 9,2965 2,43086 2,43086 22,61064429 22,59848999 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-13 9,3015 9,2965 2,44542 2,44542 22,74607413 22,73384703 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-14 9,3365 9,3315 2,42056 2,42056 22,59955844 22,58745564 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-15 9,3425 9,3375 2,453 2,453 22,9171525 22,9048875 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-16 9,3465 9,3415 2,50649 2,50649 23,426908785 23,414376335 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-19 9,3355 9,3305 2,51829 2,51829 23,509496295 23,496904845 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-20 9,3395 9,3345 2,51936 2,51936 23,52956272 23,51696592 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-21 9,3405 9,3355 2,51166 2,51166 23,46016023 23,44760193 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-22 9,3405 9,3355 2,5162 2,5162 23,5025661 23,4899851 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-23 9,3695 9,3645 2,47736 2,47736 23,21162452 23,19923772 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-26 9,3815 9,3765 2,48736 2,48736 23,33516784 23,32273104 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-27 9,3885 9,3835 2,53485 2,53485 23,798439225 23,785764975 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-28 9,3935 9,3885 2,53835 2,53835 23,843990725 23,831298975 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-29 9,3845 9,3795 2,51745 2,51745 23,625009525 23,612422275 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-09-30 9,3435 9,3385 2,51919 2,51919 23,538051765 23,525455815 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-03 9,3025 9,2975 2,53882 2,53882 23,61737305 23,60467895 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-04 9,3185 9,3135 2,56109 2,56109 23,865517165 23,852711715 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-05 9,3105 9,3055 2,54786 2,54786 23,72185053 23,70911123 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-06 9,3015 9,2965 2,45905 2,45905 22,872853575 22,860558325 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-07 9,3385 9,3335 2,43187 2,43187 22,710017995 22,697858645 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-10 9,3465 9,3415 2,44219 2,44219 22,825928835 22,813717885 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-11 9,3395 9,3345 2,4738 2,4738 23,1040551 23,0916861 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-12 9,3375 9,3325 2,45967 2,45967 22,967168625 22,954870275 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-13 9,3815 9,3765 2,3733 2,3733 22,26511395 22,25324745 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-14 9,4135 9,4085 2,30546 2,30546 21,70244771 21,69092041 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-17 9,4575 9,4525 2,33961 2,33961 22,126861575 22,115163525 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-18 9,4625 9,4575 2,36459 2,36459 22,374932875 22,363109925 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-19 9,4605 9,4555 2,26015 2,26015 21,382149075 21,370848325 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-20 9,4935 9,4885 2,28715 2,28715 21,713058525 21,701622775 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-21 9,4915 9,4865 2,27445 2,27445 21,587942175 21,576569925 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-24 9,5455 9,5405 2,30022 2,30022 21,95675001 21,94524891 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-25 9,5465 9,5415 2,30298 2,30298 21,98539857 21,97388367 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-26 9,4975 9,4925 2,32878 2,32878 22,11758805 22,10594415 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-27 9,5355 9,5305 2,26331 2,26331 21,581792505 21,570475955 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-28 9,5135 9,5085 2,25094 2,25094 21,41431769 21,40306299 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-10-31 9,5495 9,5445 2,3127 2,3127 22,08512865 22,07356515 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-01 9,5495 9,5445 2,3211 2,3211 22,16534445 22,15373895 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-02 9,5855 9,5805 2,35672 2,35672 22,59033956 22,57855596 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-03 9,6515 9,6465 2,39813 2,39813 23,145551695 23,133561045 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-04 9,5875 9,5825 2,41149 2,41149 23,120160375 23,108102925 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-07 9,6075 9,6025 2,39786 2,39786 23,03743995 23,02545065 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-08 9,5685 9,5635 2,40551 2,40551 23,017122435 23,005094885 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-09 9,5575 9,5525 2,39499 2,39499 22,890116925 22,878141975 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-10 9,6105 9,6055 2,34559 2,34559 22,542292695 22,530564745 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-11 9,6365 9,6315 2,36026 2,36026 22,74464549 22,73284419 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-14 9,5505 9,5455 2,36145 2,36145 22,553028225 22,541220975 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-15 9,5805 9,5755 2,35443 2,35443 22,556616615 22,544844465 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-16 9,6235 9,6185 2,3625 2,3625 22,73551875 22,72370625 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-17 9,6355 9,6305 2,39236 2,39236 23,05158478 23,03962298 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-18 9,6085 9,6035 2,40307 2,40307 23,089898095 23,077882745 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-21 9,5915 9,5865 2,40088 2,40088 23,02804052 23,01603612 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-22 9,5585 9,5535 2,37938 2,37938 22,74330373 22,73140683 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-23 9,5155 9,5105 2,39436 2,39436 22,78353258 22,77156078 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-24 9,5125 9,5075 2,41933 2,41933 23,013876625 23,001779975 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-25 9,4965 9,4915 2,4347 2,4347 23,12112855 23,10895505 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-28 9,4835 9,4785 2,46743 2,46743 23,399872405 23,387535255 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-29 9,4785 9,4735 2,45083 2,45083 23,230192155 23,217938005 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-11-30 9,5295 9,5245 2,45183 2,45183 23,364713985 23,352454835 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-01 9,5165 9,5115 2,4409 2,4409 23,22882485 23,21662035 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-02 9,4905 9,4855 2,48373 2,48373 23,571839565 23,559420915 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-05 9,4065 9,4015 2,49742 2,49742 23,49198123 23,47949413 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-07 9,4255 9,4205 2,46872 2,46872 23,26892036 23,25657676 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-08 9,3965 9,3915 2,45178 2,45178 23,03815077 23,02589187 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-12 9,4315 9,4265 2,47317 2,47317 23,325702855 23,313337005 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-13 9,4295 9,4245 2,47557 2,47557 23,343387315 23,331009465 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-14 9,4365 9,4315 2,47826 2,47826 23,38610049 23,37370919 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-15 9,4345 9,4295 2,49342 2,49342 23,52417099 23,51170389 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-16 9,4765 9,4715 2,46676 2,46676 23,37625114 23,36391734 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-19 9,4535 9,4485 2,48277 2,48277 23,470866195 23,458452345 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-20 9,4015 9,3965 2,50226 2,50226 23,52499739 23,51248609 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-21 9,4485 9,4435 2,51452 2,51452 23,75844222 23,74586962 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-22 9,4365 9,4315 2,51502 2,51502 23,73298623 23,72041113 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-23 9,4425 9,4375 2,50514 2,50514 23,65478445 23,64225875 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-27 9,4915 9,4865 2,5293 2,5293 24,00685095 23,99420445 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-28 9,4345 9,4295 2,51865 2,51865 23,762203425 23,749610175 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-29 9,4115 9,4065 2,52356 2,52356 23,75048494 23,73786714 750315 Sampo Fondbolag Ab Mandatum Östeuropa EUR 2005-12-30 9,4325 9,4275 2,5153 2,5153 23,72556725 23,71299075 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-03 9,0065 9,0015 49,97 49,97 450,054805 449,804955 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-04 9,0345 9,0295 50,26 50,26 454,07397 453,82267 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-05 9,0615 9,0565 50,34 50,34 456,15591 455,90421 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-07 9,0615 9,0565 50,14 50,14 454,34361 454,09291 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-10 9,08619 9,08119 50,42 50,42 458,1256998 457,8735998 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-11 9,08619 9,08119 50,61 50,61 459,8520759 459,5990259 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-12 9,0455 9,0405 50,32 50,32 455,16956 454,91796 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-13 9,0505 9,0455 50,12 50,12 453,61106 453,36046 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-14 9,0455 9,0405 50,34 50,34 455,35047 455,09877 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-17 9,0685 9,0635 50,48 50,48 457,77788 457,52548 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-18 9,0585 9,0535 50,67 50,67 458,994195 458,740845 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-19 9,0225 9,0175 50,8 50,8 458,343 458,089 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-20 9,0315 9,0265 50,89 50,89 459,613035 459,358585 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-21 9,0505 9,0455 50,73 50,73 459,131865 458,878215 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-24 9,0655 9,0605 50,77 50,77 460,255435 460,001585 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-25 9,0715 9,0665 50,58 50,58 458,83647 458,58357 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-26 9,0885 9,0835 50,86 50,86 462,24111 461,98681 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-27 9,0675 9,0625 50,97 50,97 462,170475 461,915625 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-28 9,0955 9,0905 51,11 51,11 464,871005 464,615455 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-01-31 9,1075 9,1025 51 51 464,4825 464,2275 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-01 9,1035 9,0985 51,3 51,3 467,00955 466,75305 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-02 9,0905 9,0855 51,49 51,49 468,069845 467,812395 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-03 9,0695 9,0645 51,69 51,69 468,802455 468,544005 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-04 9,0895 9,0845 51,78 51,78 470,65431 470,39541 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-07 9,0755 9,0705 52,2 52,2 473,7411 473,4801 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-08 9,0895 9,0845 52,49 52,49 477,107855 476,845405 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-09 9,0695 9,0645 52,43 52,43 475,513885 475,251735 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-10 9,0805 9,0755 52,23 52,23 474,274515 474,013365 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-11 9,0935 9,0885 52,24 52,24 475,04444 474,78324 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-14 9,1105 9,1055 52,76 52,76 480,66998 480,40618 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-15 9,0765 9,0715 52,89 52,89 480,056085 479,791635 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-16 9,0705 9,0655 53,16 53,16 482,18778 481,92198 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-17 9,0925 9,0875 52,75 52,75 479,629375 479,365625 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-18 9,0945 9,0895 52,88 52,88 480,91716 480,65276 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-21 9,1185 9,1135 52,78 52,78 481,27443 481,01053 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-22 9,0975 9,0925 52,51 52,51 477,709725 477,447175 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-23 9,1045 9,0995 52,24 52,24 475,61908 475,35788 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-24 9,0715 9,0665 52,08 52,08 472,44372 472,18332 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-25 9,0845 9,0795 52,19 52,19 474,120055 473,859105 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-02-28 9,0505 9,0455 52,64 52,64 476,41832 476,15512 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-01 9,0565 9,0515 52,72 52,72 477,45868 477,19508 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-02 9,0645 9,0595 52,86 52,86 479,14947 478,88517 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-03 9,0675 9,0625 52,78 52,78 478,58265 478,31875 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-04 9,0415 9,0365 52,75 52,75 476,939125 476,675375 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-07 9,0425 9,0375 53,07 53,07 479,885475 479,620125 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-08 9,0345 9,0295 53,09 53,09 479,641605 479,376155 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-09 9,0365 9,0315 52,89 52,89 477,940485 477,676035 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-10 9,0655 9,0605 52,62 52,62 477,02661 476,76351 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-11 9,0795 9,0745 52,25 52,25 474,403875 474,142625 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-14 9,0695 9,0645 52,38 52,38 475,06041 474,79851 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-15 9,1035 9,0985 52,34 52,34 476,47719 476,21549 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-16 9,0975 9,0925 52,67 52,67 479,165325 478,901975 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-17 9,1045 9,0995 52,23 52,23 475,528035 475,266885 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-18 9,1035 9,0985 52,19 52,19 475,111665 474,850715 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-21 9,1265 9,1215 52,3 52,3 477,31595 477,05445 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-22 9,1265 9,1215 52,16 52,16 476,03824 475,77744 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-23 9,1165 9,1115 52,17 52,17 475,607805 475,346955 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-24 9,1135 9,1085 51,87 51,87 472,717245 472,457895 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-29 9,1315 9,1265 52,07 52,07 475,477205 475,216855 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-30 9,1425 9,1375 51,95 51,95 474,952875 474,693125 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-03-31 9,1405 9,1355 51,84 51,84 473,84352 473,58432 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-01 9,1645 9,1595 51,95 51,95 476,095775 475,836025 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-04 9,1695 9,1645 52,06 52,06 477,36417 477,10387 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-05 9,1745 9,1695 52,04 52,04 477,44098 477,18078 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-06 9,1705 9,1655 52,31 52,31 479,708855 479,447305 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-07 9,1505 9,1455 52,41 52,41 479,577705 479,315655 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-08 9,1625 9,1575 52,6 52,6 481,9475 481,6845 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-11 9,1705 9,1655 52,72 52,72 483,46876 483,20516 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-12 9,1525 9,1475 52,67 52,67 482,062175 481,798825 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-13 9,1495 9,1445 52,7 52,7 482,17865 481,91515 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-14 9,1685 9,1635 52,94 52,94 485,38039 485,11569 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-15 9,1925 9,1875 52,75 52,75 484,904375 484,640625 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-18 9,1805 9,1755 52,09 52,09 478,212245 477,951795 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-19 9,2035 9,1985 51,27 51,27 471,863445 471,607095 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-20 9,1915 9,1865 51,52 51,52 473,54608 473,28848 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-21 9,1855 9,1805 51,51 51,51 473,145105 472,887555 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-22 9,1625 9,1575 51,48 51,48 471,6855 471,4281 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-25 9,1685 9,1635 51,75 51,75 474,469875 474,211125 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-26 9,1375 9,1325 51,75 51,75 472,865625 472,606875 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-27 9,1465 9,1415 51,57 51,57 471,685005 471,427155 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-28 9,1505 9,1455 50,95 50,95 466,217975 465,963225 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-04-29 9,1705 9,1655 50,88 50,88 466,59504 466,34064 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-02 9,1935 9,1885 50,89 50,89 467,857215 467,602765 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-03 9,2245 9,2195 51,11 51,11 471,464195 471,208645 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-04 9,1915 9,1865 51,32 51,32 471,70778 471,45118 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-06 9,1715 9,1665 51,6 51,6 473,2494 472,9914 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-09 9,1815 9,1765 51,74 51,74 475,05081 474,79211 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-10 9,1985 9,1935 51,78 51,78 476,29833 476,03943 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-11 9,2105 9,2055 51,55 51,55 474,801275 474,543525 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-12 9,2315 9,2265 51,38 51,38 474,31447 474,05757 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-13 9,2045 9,1995 51,51 51,51 474,123795 473,866245 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-17 9,2325 9,2275 51,43 51,43 474,827475 474,570325 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-18 9,2095 9,2045 51,45 51,45 473,828775 473,571525 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-19 9,1905 9,1855 51,73 51,73 475,424565 475,165915 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-20 9,1955 9,1905 51,8 51,8 476,3269 476,0679 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-23 9,1805 9,1755 51,89 51,89 476,376145 476,116695 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-24 9,1815 9,1765 52,11 52,11 478,447965 478,187415 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-25 9,1785 9,1735 52,17 52,17 478,842345 478,581495 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-26 9,1945 9,1895 52,32 52,32 481,05624 480,79464 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-27 9,1955 9,1905 52,61 52,61 483,775255 483,512205 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-30 9,1905 9,1855 52,66 52,66 483,97173 483,70843 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-05-31 9,1665 9,1615 52,86 52,86 484,54119 484,27689 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-01 9,1455 9,1405 52,85 52,85 483,339675 483,075425 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-02 9,1565 9,1515 53,19 53,19 487,034235 486,768285 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-03 9,1315 9,1265 53,21 53,21 485,887115 485,621065 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-07 9,1455 9,1405 53,37 53,37 488,095335 487,828485 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-08 9,1455 9,1405 53,66 53,66 490,74753 490,47923 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-09 9,1965 9,1915 53,59 53,59 492,840435 492,572485 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-10 9,1975 9,1925 53,55 53,55 492,526125 492,258375 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-13 9,2365 9,2315 53,88 53,88 497,66262 497,39322 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-14 9,2985 9,2935 53,94 53,94 501,56109 501,29139 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-15 9,2695 9,2645 54,09 54,09 501,387255 501,116805 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-16 9,2695 9,2645 54,01 54,01 500,645695 500,375645 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-17 9,2695 9,2645 54,27 54,27 503,055765 502,784415 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-20 9,2255 9,2205 54,57 54,57 503,435535 503,162685 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-21 9,2725 9,2675 54,71 54,71 507,298475 507,024925 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-22 9,2615 9,2565 54,75 54,75 507,067125 506,793375 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-27 9,3855 9,3805 54,93 54,93 515,545515 515,270865 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-28 9,3995 9,3945 54,61 54,61 513,306695 513,033645 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-29 9,4215 9,4165 54,98 54,98 517,99407 517,71917 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-06-30 9,4415 9,4365 55 55 519,2825 519,0075 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-01 9,4595 9,4545 55,2 55,2 522,1644 521,8884 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-04 9,4795 9,4745 55,47 55,47 525,827865 525,550515 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-05 9,4575 9,4525 55,72 55,72 526,9719 526,6933 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-06 9,4195 9,4145 55,66 55,66 524,28937 524,01107 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-07 9,3965 9,3915 56,14 56,14 527,51951 527,23881 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-08 9,4175 9,4125 55,36 55,36 521,3528 521,076 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-11 9,4665 9,4615 56,2 56,2 532,0173 531,7363 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-12 9,4645 9,4595 56,68 56,68 536,44786 536,16446 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-13 9,3915 9,3865 56,76 56,76 533,06154 532,77774 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-14 9,3675 9,3625 57,14 57,14 535,25895 534,97325 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-15 9,4055 9,4005 57,15 57,15 537,524325 537,238575 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-18 9,3895 9,3845 56,72 56,72 532,57244 532,28884 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-19 9,4425 9,4375 56,85 56,85 536,806125 536,521875 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-20 9,4265 9,4215 56,93 56,93 536,650645 536,365995 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-21 9,4625 9,4575 56,77 56,77 537,186125 536,902275 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-22 9,4495 9,4445 56,85 56,85 537,204075 536,919825 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-25 9,4275 9,4225 56,94 56,94 536,80185 536,51715 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-26 9,4155 9,4105 57,1 57,1 537,62505 537,33955 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-27 9,4725 9,4675 57,41 57,41 543,816225 543,529175 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-28 9,4515 9,4465 57,72 57,72 545,54058 545,25198 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-07-29 9,3885 9,3835 57,9 57,9 543,59415 543,30465 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-01 9,3985 9,3935 58,14 58,14 546,42879 546,13809 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-02 9,3995 9,3945 58,57 58,57 550,528715 550,235865 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-03 9,3755 9,3705 58,67 58,67 550,060585 549,767235 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-04 9,3735 9,3685 58,41 58,41 547,506135 547,214085 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-05 9,3355 9,3305 58,41 58,41 545,286555 544,994505 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-08 9,3335 9,3285 58,37 58,37 544,796395 544,504545 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-09 9,3455 9,3405 58,62 58,62 547,83321 547,54011 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-10 9,3535 9,3485 58,91 58,91 551,014685 550,720135 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-11 9,3365 9,3315 59,63 59,63 556,735495 556,437345 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-12 9,3025 9,2975 60,03 60,03 558,429075 558,128925 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-16 9,2995 9,2945 59,51 59,51 553,413245 553,115695 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-17 9,3405 9,3355 59,05 59,05 551,556525 551,261275 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-18 9,3365 9,3315 58,78 58,78 548,79947 548,50557 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-19 9,3395 9,3345 58,72 58,72 548,41544 548,12184 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-22 9,3655 9,3605 59,3 59,3 555,37415 555,07765 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-23 9,3715 9,3665 59,62 59,62 558,72883 558,43073 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-24 9,3365 9,3315 59,39 59,39 554,494735 554,197785 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-25 9,3335 9,3285 59,22 59,22 552,72987 552,43377 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-26 9,3415 9,3365 59,09 59,09 551,989235 551,693785 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-29 9,3295 9,3245 59,04 59,04 550,81368 550,51848 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-30 9,3285 9,3235 59,1 59,1 551,31435 551,01885 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-08-31 9,3585 9,3535 59,35 59,35 555,426975 555,130225 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-01 9,3365 9,3315 59,85 59,85 558,789525 558,490275 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-02 9,3025 9,2975 60,33 60,33 561,219825 560,918175 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-05 9,2845 9,2795 60,19 60,19 558,834055 558,533105 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-06 9,3225 9,3175 60,44 60,44 563,4519 563,1497 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-07 9,3075 9,3025 60,49 60,49 563,010675 562,708225 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-08 9,3255 9,3205 60,59 60,59 565,032045 564,729095 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-09 9,3445 9,3395 60,56 60,56 565,90292 565,60012 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-12 9,3015 9,2965 60,69 60,69 564,508035 564,204585 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-13 9,3015 9,2965 60,62 60,62 563,85693 563,55383 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-14 9,3365 9,3315 60,07 60,07 560,843555 560,543205 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-15 9,3425 9,3375 60,12 60,12 561,6711 561,3705 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-16 9,3465 9,3415 60,25 60,25 563,126625 562,825375 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-19 9,3355 9,3305 60,56 60,56 565,35788 565,05508 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-20 9,3395 9,3345 60,8 60,8 567,8416 567,5376 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-21 9,3405 9,3355 60,43 60,43 564,446415 564,144265 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-22 9,3405 9,3355 60,43 60,43 564,446415 564,144265 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-23 9,3695 9,3645 60,34 60,34 565,35563 565,05393 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-26 9,3815 9,3765 60,26 60,26 565,32919 565,02789 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-27 9,3885 9,3835 60,63 60,63 569,224755 568,921605 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-28 9,3935 9,3885 60,41 60,41 567,461335 567,159285 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-29 9,3845 9,3795 60,82 60,82 570,76529 570,46119 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-09-30 9,3435 9,3385 60,99 60,99 569,860065 569,555115 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-03 9,3025 9,2975 61,33 61,33 570,522325 570,215675 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-04 9,3185 9,3135 61,55 61,55 573,553675 573,245925 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-05 9,3105 9,3055 61,42 61,42 571,85091 571,54381 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-06 9,3015 9,2965 60,87 60,87 566,182305 565,877955 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-07 9,3385 9,3335 60,11 60,11 561,337235 561,036685 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-10 9,3465 9,3415 59,95 59,95 560,322675 560,022925 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-11 9,3395 9,3345 60,1 60,1 561,30395 561,00345 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-12 9,3375 9,3325 60,22 60,22 562,30425 562,00315 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-13 9,3815 9,3765 59,91 59,91 562,045665 561,746115 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-14 9,4135 9,4085 58,74 58,74 552,94899 552,65529 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-17 9,4575 9,4525 58,44 58,44 552,6963 552,4041 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-18 9,4625 9,4575 58,52 58,52 553,7455 553,4529 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-19 9,4605 9,4555 58,19 58,19 550,506495 550,215545 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-20 9,4935 9,4885 56,69 56,69 538,186515 537,903065 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-21 9,4915 9,4865 57,29 57,29 543,768035 543,481585 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-24 9,5455 9,5405 56,64 56,64 540,65712 540,37392 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-25 9,5465 9,5415 57,24 57,24 546,44166 546,15546 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-26 9,4975 9,4925 57,25 57,25 543,731875 543,445625 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-27 9,5355 9,5305 57,37 57,37 547,051635 546,764785 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-28 9,5135 9,5085 56,57 56,57 538,178695 537,895845 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-10-31 9,5495 9,5445 56,63 56,63 540,788185 540,505035 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-02 9,5855 9,5805 57,81 57,81 554,137755 553,848705 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-03 9,6515 9,6465 58,11 58,11 560,848665 560,558115 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-04 9,5875 9,5825 58,98 58,98 565,47075 565,17585 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-07 9,6075 9,6025 58,89 58,89 565,785675 565,491225 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-08 9,5685 9,5635 59,15 59,15 565,976775 565,681025 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-09 9,5575 9,5525 59,07 59,07 564,561525 564,266175 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-10 9,6105 9,6055 58,97 58,97 566,731185 566,436335 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-11 9,6365 9,6315 58,85 58,85 567,108025 566,813775 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-14 9,5505 9,5455 59,18 59,18 565,19859 564,90269 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-15 9,5805 9,5755 59,18 59,18 566,97399 566,67809 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-16 9,6235 9,6185 59,01 59,01 567,882735 567,587685 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-17 9,6355 9,6305 58,55 58,55 564,158525 563,865775 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-18 9,6085 9,6035 58,79 58,79 564,883715 564,589765 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-21 9,5915 9,5865 59,21 59,21 567,912715 567,616665 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-22 9,5585 9,5535 59,19 59,19 565,767615 565,471665 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-23 9,5155 9,5105 59,44 59,44 565,60132 565,30412 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-24 9,5125 9,5075 59,74 59,74 568,27675 567,97805 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-25 9,4965 9,4915 59,88 59,88 568,65042 568,35102 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-28 9,4835 9,4785 59,95 59,95 568,535825 568,236075 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-29 9,4785 9,4735 59,79 59,79 566,719515 566,420565 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-11-30 9,5295 9,5245 59,67 59,67 568,625265 568,326915 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-01 9,5165 9,5115 59,55 59,55 566,707575 566,409825 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-02 9,4905 9,4855 60,32 60,32 572,46696 572,16536 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-05 9,4065 9,4015 60,51 60,51 569,187315 568,884765 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-06 9,4185 9,4135 60,65 60,65 571,232025 570,928775 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-07 9,4255 9,4205 61,05 61,05 575,426775 575,121525 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-08 9,3965 9,3915 61,19 61,19 574,971835 574,665885 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-12 9,4315 9,4265 61,62 61,62 581,16903 580,86093 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-13 9,4295 9,4245 61,6 61,6 580,8572 580,5492 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-14 9,4365 9,4315 61,88 61,88 583,93062 583,62122 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-15 9,4345 9,4295 61,74 61,74 582,48603 582,17733 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-16 9,4765 9,4715 61,9 61,9 586,59535 586,28585 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-19 9,4535 9,4485 62,11 62,11 587,156885 586,846335 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-20 9,4015 9,3965 62,04 62,04 583,26906 582,95886 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-21 9,4485 9,4435 61,89 61,89 584,767665 584,458215 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-22 9,4365 9,4315 62,4 62,4 588,8376 588,5256 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-23 9,4425 9,4375 62,7 62,7 592,04475 591,73125 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-27 9,4915 9,4865 62,64 62,64 594,54756 594,23436 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-28 9,4345 9,4295 62,85 62,85 592,958325 592,644075 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-29 9,4115 9,4065 62,69 62,69 590,006935 589,693485 452813 HQ Bank AB Mir Quality Growth SICAV - Europe Quality Growth Fund EUR 2005-12-30 9,4325 9,4275 62,97 62,97 593,964525 593,649675 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-03 6,668 6,658 86,36 86,36 575,84848 574,98488 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-04 6,728 6,718 86,01 86,01 578,67528 577,81518 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-05 6,828 6,818 85 85 580,38 579,53 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-07 6,87 6,86 84,64 84,64 581,4768 580,6304 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-10 6,96091 6,95091 84,91 84,91 591,0508681 590,2017681 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-11 6,96091 6,95091 85,22 85,22 593,2087502 592,3565502 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-12 6,913 6,903 84,67 84,67 585,32371 584,47701 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-13 6,843 6,833 84,94 84,94 581,24442 580,39502 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-14 6,915 6,905 84,81 84,81 586,46115 585,61305 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-17 6,915 6,905 85,11 85,11 588,53565 587,68455 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-18 6,968 6,958 85,24 85,24 593,95232 593,09992 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-19 6,91 6,9 85,83 85,83 593,0853 592,227 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-20 6,96 6,95 85,24 85,24 593,2704 592,418 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-21 6,978 6,968 84,24 84,24 587,82672 586,98432 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-24 6,933 6,923 83,82 83,82 581,12406 580,28586 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-25 6,95 6,94 83,43 83,43 579,8385 579,0042 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-26 6,995 6,985 83,98 83,98 587,4401 586,6003 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-27 6,93 6,92 84,93 84,93 588,5649 587,7156 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-28 6,985 6,975 84,87 84,87 592,81695 591,96825 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-01-31 6,998 6,988 84,82 84,82 593,57036 592,72216 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-01 6,993 6,983 85,78 85,78 599,85954 599,00174 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-02 6,953 6,943 86,04 86,04 598,23612 597,37572 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-03 6,968 6,958 86,29 86,29 601,26872 600,40582 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-04 7,01 7 85,34 85,34 598,2334 597,38 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-07 7,065 7,055 86,13 86,13 608,50845 607,64715 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-08 7,123 7,113 85,93 85,93 612,07939 611,22009 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-09 7,1 7,09 85,6 85,6 607,76 606,904 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-10 7,088 7,078 85,15 85,15 603,5432 602,6917 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-11 7,068 7,058 85,5 85,5 604,314 603,459 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-14 7,03 7,02 86,24 86,24 606,2672 605,4048 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-15 7,005 6,995 86,79 86,79 607,96395 607,09605 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-16 6,973 6,963 87,27 87,27 608,53371 607,66101 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-17 6,97 6,96 87,21 87,21 607,8537 606,9816 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-18 6,965 6,955 87,05 87,05 606,30325 605,43275 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-21 6,978 6,968 85,69 85,69 597,94482 597,08792 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-22 6,905 6,895 86,43 86,43 596,79915 595,93485 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-23 6,895 6,885 85,77 85,77 591,38415 590,52645 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-24 6,858 6,848 85,86 85,86 588,82788 587,96928 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-25 6,885 6,875 85,86 85,86 591,1461 590,2875 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-02-28 6,828 6,818 87,49 87,49 597,38172 596,50682 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-01 6,87 6,86 87,4 87,4 600,438 599,564 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-02 6,888 6,878 87,58 87,58 603,25104 602,37524 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-03 6,903 6,893 87,48 87,48 603,87444 602,99964 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-04 6,9 6,89 87,17 87,17 601,473 600,6013 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-07 6,84 6,83 87,99 87,99 601,8516 600,9717 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-08 6,825 6,815 88,41 88,41 603,39825 602,51415 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-09 6,76 6,75 87,96 87,96 594,6096 593,73 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-10 6,745 6,735 87,41 87,41 589,58045 588,70635 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-11 6,765 6,755 87,54 87,54 592,2081 591,3327 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-14 6,76 6,75 87,32 87,32 590,2832 589,41 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-15 6,815 6,805 87,19 87,19 594,19985 593,32795 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-16 6,81 6,8 87,04 87,04 592,7424 591,872 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-17 6,795 6,785 86,57 86,57 588,24315 587,37745 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-18 6,828 6,818 86,59 86,59 591,23652 590,37062 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-21 6,908 6,898 86,29 86,29 596,09132 595,22842 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-22 6,928 6,918 85,72 85,72 593,86816 593,01096 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-23 6,973 6,963 84,93 84,93 592,21689 591,36759 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-24 7,008 6,998 84,36 84,36 591,19488 590,35128 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-29 7,055 7,045 84,12 84,12 593,4666 592,6254 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-30 7,053 7,043 83,78 83,78 590,90034 590,06254 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-03-31 7,065 7,055 84,81 84,81 599,18265 598,33455 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-01 7,07 7,06 84,69 84,69 598,7583 597,9114 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-04 7,113 7,103 84,11 84,11 598,27443 597,43333 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-05 7,163 7,153 84,2 84,2 603,1246 602,2826 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-06 7,125 7,115 84,72 84,72 603,63 602,7828 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-07 7,083 7,073 84,68 84,68 599,78844 598,94164 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-08 7,153 7,143 85,16 85,16 609,14948 608,29788 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-11 7,098 7,088 84,75 84,75 601,5555 600,708 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-12 7,048 7,038 84,67 84,67 596,75416 595,90746 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-13 7,075 7,065 84,99 84,99 601,30425 600,45435 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-14 7,12 7,11 84,38 84,38 600,7856 599,9418 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-15 7,17 7,16 83,23 83,23 596,7591 595,9268 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-18 7,08 7,07 81,71 81,71 578,5068 577,6897 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-19 7,068 7,058 81,4 81,4 575,3352 574,5212 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-20 7,043 7,033 81,63 81,63 574,92009 574,10379 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-21 7,025 7,015 80,96 80,96 568,744 567,9344 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-22 7,023 7,013 82,15 82,15 576,93945 576,11795 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-25 7,04 7,03 81,6 81,6 574,464 573,648 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-26 7,035 7,025 82,17 82,17 578,06595 577,24425 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-27 7,085 7,075 81,81 81,81 579,62385 578,80575 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-28 7,085 7,075 81,61 81,61 578,20685 577,39075 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-04-29 7,08 7,07 81,06 81,06 573,9048 573,0942 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-02 7,15 7,14 81,48 81,48 582,582 581,7672 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-03 7,178 7,168 81,59 81,59 585,65302 584,83712 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-04 7,11 7,1 81,83 81,83 581,8113 580,993 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-06 7,085 7,075 83,04 83,04 588,3384 587,508 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-09 7,168 7,158 83,03 83,03 595,15904 594,32874 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-10 7,178 7,168 83,36 83,36 598,35808 597,52448 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-11 7,15 7,14 83,03 83,03 593,6645 592,8342 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-12 7,243 7,233 83,17 83,17 602,40031 601,56861 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-13 7,265 7,255 82,66 82,66 600,5249 599,6983 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-17 7,313 7,303 83,19 83,19 608,36847 607,53657 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-18 7,3 7,29 83,8 83,8 611,74 610,902 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-19 7,26 7,25 84,74 84,74 615,2124 614,365 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-20 7,28 7,27 85,09 85,09 619,4552 618,6043 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-23 7,32 7,31 84,88 84,88 621,3216 620,4728 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-24 7,295 7,285 85,23 85,23 621,75285 620,90055 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-25 7,298 7,288 85,26 85,26 622,22748 621,37488 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-26 7,33 7,32 85,17 85,17 624,2961 623,4444 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-27 7,338 7,328 85,79 85,79 629,52702 628,66912 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-30 7,338 7,328 85,98 85,98 630,92124 630,06144 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-05-31 7,403 7,393 85,9 85,9 635,9177 635,0587 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-01 7,428 7,418 85,59 85,59 635,76252 634,90662 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-02 7,473 7,463 86,18 86,18 644,02314 643,16134 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-03 7,438 7,428 86,56 86,56 643,83328 642,96768 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-07 7,448 7,438 86,08 86,08 641,12384 640,26304 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-08 7,435 7,425 86,09 86,09 640,07915 639,21825 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-09 7,523 7,513 85,88 85,88 646,07524 645,21644 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-10 7,525 7,515 85,71 85,71 644,96775 644,11065 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-13 7,643 7,633 85,28 85,28 651,79504 650,94224 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-14 7,663 7,653 85,33 85,33 653,88379 653,03049 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-15 7,693 7,683 85,56 85,56 658,21308 657,35748 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-16 7,678 7,668 85,92 85,92 659,69376 658,83456 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-17 7,643 7,633 86,27 86,27 659,36161 658,49891 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-20 7,543 7,533 86,81 86,81 654,80783 653,93973 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-21 7,648 7,638 86,71 86,71 663,15808 662,29098 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-22 7,608 7,598 86,77 86,77 660,14616 659,27846 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-27 7,73 7,72 85,62 85,62 661,8426 660,9864 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-28 7,76 7,75 85,58 85,58 664,1008 663,245 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-29 7,833 7,823 86,17 86,17 674,96961 674,10791 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-06-30 7,823 7,813 85,55 85,55 669,25765 668,40215 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-01 7,858 7,848 85,5 85,5 671,859 671,004 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-04 7,945 7,935 85,41 85,41 678,58245 677,72835 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-05 7,963 7,953 85,47 85,47 680,59761 679,74291 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-06 7,895 7,885 86,27 86,27 681,10165 680,23895 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-07 7,878 7,868 86,35 86,35 680,2653 679,4018 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-08 7,913 7,903 86,38 86,38 683,52494 682,66114 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-11 7,89 7,88 87,66 87,66 691,6374 690,7608 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-12 7,77 7,76 88,6 88,6 688,422 687,536 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-13 7,703 7,693 89,53 89,53 689,64959 688,75429 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-14 7,76 7,75 89,49 89,49 694,4424 693,5475 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-15 7,76 7,75 89,86 89,86 697,3136 696,415 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-18 7,78 7,77 89,43 89,43 695,7654 694,8711 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-19 7,878 7,868 89,52 89,52 705,23856 704,34336 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-20 7,818 7,808 90,35 90,35 706,3563 705,4528 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-21 7,775 7,765 91,33 91,33 710,09075 709,17745 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-22 7,758 7,748 91,76 91,76 711,87408 710,95648 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-25 7,838 7,828 91,43 91,43 716,62834 715,71404 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-26 7,818 7,808 91,76 91,76 717,37968 716,46208 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-27 7,905 7,895 92,26 92,26 729,3153 728,3927 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-28 7,848 7,838 93,13 93,13 730,88424 729,95294 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-07-29 7,748 7,738 92,85 92,85 719,4018 718,4733 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-01 7,72 7,71 93,23 93,23 719,7356 718,8033 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-02 7,7 7,69 94,06 94,06 724,262 723,3214 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-03 7,685 7,675 94,46 94,46 725,9251 724,9805 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-04 7,618 7,608 93,81 93,81 714,64458 713,70648 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-05 7,548 7,538 93,81 93,81 708,07788 707,13978 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-08 7,558 7,548 93,44 93,44 706,21952 705,28512 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-09 7,548 7,538 93,54 93,54 706,03992 705,10452 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-10 7,558 7,548 94,06 94,06 710,90548 709,96488 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-11 7,523 7,513 94,56 94,56 711,37488 710,42928 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-12 7,46 7,45 95,44 95,44 711,9824 711,028 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-16 7,523 7,513 95,21 95,21 716,26483 715,31273 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-17 7,605 7,595 94,11 94,11 715,70655 714,76545 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-18 7,61 7,6 93,87 93,87 714,3507 713,412 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-19 7,698 7,688 93,33 93,33 718,45434 717,52104 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-22 7,69 7,68 93,65 93,65 720,1685 719,232 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-23 7,663 7,653 94,04 94,04 720,62852 719,68812 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-24 7,673 7,663 93,6 93,6 718,1928 717,2568 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-25 7,588 7,578 93,14 93,14 706,74632 705,81492 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-26 7,578 7,568 93,55 93,55 708,9219 707,9864 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-29 7,573 7,563 93,14 93,14 705,34922 704,41782 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-30 7,633 7,623 93,32 93,32 712,31156 711,37836 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-08-31 7,668 7,658 92,78 92,78 711,43704 710,50924 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-01 7,568 7,558 93,81 93,81 709,95408 709,01598 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-02 7,435 7,425 94,1 94,1 699,6335 698,6925 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-05 7,41 7,4 94,23 94,23 698,2443 697,302 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-06 7,485 7,475 94,49 94,49 707,25765 706,31275 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-07 7,43 7,42 95,37 95,37 708,5991 707,6454 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-08 7,498 7,488 95,38 95,38 715,15924 714,20544 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-09 7,523 7,513 95,1 95,1 715,4373 714,4863 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-12 7,555 7,545 95,87 95,87 724,29785 723,33915 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-13 7,57 7,56 95,73 95,73 724,6761 723,7188 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-14 7,61 7,6 95,2 95,2 724,472 723,52 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-15 7,658 7,648 94,76 94,76 725,67208 724,72448 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-16 7,613 7,603 94,73 94,73 721,17949 720,23219 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-19 7,698 7,688 95,41 95,41 734,46618 733,51208 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-20 7,688 7,678 95,24 95,24 732,20512 731,25272 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-21 7,663 7,653 94,26 94,26 722,31438 721,37178 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-22 7,648 7,638 94,26 94,26 720,90048 719,95788 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-23 7,733 7,723 94,2 94,2 728,4486 727,5066 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-26 7,798 7,788 94,2 94,2 734,5716 733,6296 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-27 7,825 7,815 94,21 94,21 737,19325 736,25115 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-28 7,81 7,8 93,9 93,9 733,359 732,42 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-29 7,785 7,775 94,01 94,01 731,86785 730,92775 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-09-30 7,785 7,775 94,91 94,91 738,87435 737,92525 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-03 7,783 7,773 95,5 95,5 743,2765 742,3215 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-04 7,82 7,81 95,38 95,38 745,8716 744,9178 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-05 7,795 7,785 94,71 94,71 738,26445 737,31735 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-06 7,713 7,703 93,49 93,49 721,08837 720,15347 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-07 7,683 7,673 92,98 92,98 714,36534 713,43554 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-10 7,698 7,688 93,07 93,07 716,45286 715,52216 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-11 7,77 7,76 92,68 92,68 720,1236 719,1968 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-12 7,805 7,795 92,38 92,38 721,0259 720,1021 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-13 7,83 7,82 91,52 91,52 716,6016 715,6864 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-14 7,833 7,823 90,98 90,98 712,64634 711,73654 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-17 7,835 7,825 91,47 91,47 716,66745 715,75275 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-18 7,893 7,883 91,53 91,53 722,44629 721,53099 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-19 7,96 7,95 90,65 90,65 721,574 720,6675 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-20 7,93 7,92 91,41 91,41 724,8813 723,9672 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-21 7,883 7,873 91,14 91,14 718,45662 717,54522 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-24 7,995 7,985 90,91 90,91 726,82545 725,91635 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-25 7,99 7,98 92,26 92,26 737,1574 736,2348 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-26 7,868 7,858 92,18 92,18 725,27224 724,35044 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-27 7,868 7,858 91,37 91,37 718,89916 717,98546 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-28 7,825 7,815 89,86 89,86 703,1545 702,2559 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-10-31 7,905 7,895 90,77 90,77 717,53685 716,62915 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-02 7,98 7,97 91,35 91,35 728,973 728,0595 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-03 8,01 8 92,57 92,57 741,4857 740,56 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-04 8,028 8,018 93,48 93,48 750,45744 749,52264 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-07 8,135 8,125 92,96 92,96 756,2296 755,3 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-08 8,17 8,16 93,23 93,23 761,6891 760,7568 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-09 8,12 8,11 92,76 92,76 753,2112 752,2836 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-10 8,173 8,163 92,75 92,75 758,04575 757,11825 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-11 8,235 8,225 93,76 93,76 772,1136 771,176 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-14 8,133 8,123 93,75 93,75 762,46875 761,53125 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-15 8,185 8,175 93,81 93,81 767,83485 766,89675 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-16 8,21 8,2 93,45 93,45 767,2245 766,29 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-17 8,258 8,248 93,24 93,24 769,97592 769,04352 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-18 8,223 8,213 94,25 94,25 775,01775 774,07525 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-21 8,123 8,113 94,53 94,53 767,86719 766,92189 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-22 8,15 8,14 94,9 94,9 773,435 772,486 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-23 8,048 8,038 95,4 95,4 767,7792 766,8252 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-24 8,053 8,043 95,94 95,94 772,60482 771,64542 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-25 8,078 8,068 95,98 95,98 775,32644 774,36664 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-28 8,118 8,108 96,03 96,03 779,57154 778,61124 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-29 8,015 8,005 95,8 95,8 767,837 766,879 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-11-30 8,088 8,078 95,48 95,48 772,24224 771,28744 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-01 8,083 8,073 95,29 95,29 770,22907 769,27617 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-02 8,103 8,093 96,47 96,47 781,69641 780,73171 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-05 8,045 8,035 96,47 96,47 776,10115 775,13645 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-06 7,993 7,983 96,51 96,51 771,40443 770,43933 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-07 8,015 8,005 96,89 96,89 776,57335 775,60445 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-08 7,988 7,978 96,36 96,36 769,72368 768,76008 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-12 7,953 7,943 96,83 96,83 770,08899 769,12069 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-13 7,905 7,895 97,09 97,09 767,49645 766,52555 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-14 7,848 7,838 97,37 97,37 764,15976 763,18606 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-15 7,858 7,848 97,57 97,57 766,70506 765,72936 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-16 7,903 7,893 97,49 97,49 770,46347 769,48857 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-19 7,865 7,855 97,44 97,44 766,3656 765,3912 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-20 7,848 7,838 96,84 96,84 760,00032 759,03192 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-21 7,948 7,938 96,79 96,79 769,28692 768,31902 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-22 7,98 7,97 96,89 96,89 773,1822 772,2133 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-23 7,955 7,945 97,46 97,46 775,2943 774,3197 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-27 8,01 8 97,35 97,35 779,7735 778,8 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-28 7,915 7,905 97,04 97,04 768,0716 767,1012 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-29 7,938 7,928 97,21 97,21 771,65298 770,68088 266999 HQ Bank AB Mir Quality Growth SICAV - Global Quality Growth Fund USD 2005-12-30 7,958 7,948 96,93 96,93 771,36894 770,39964 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-03 9,0065 9,0015 49,41 49,41 445,011165 444,764115 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-04 9,0345 9,0295 49,73 49,73 449,285685 449,037035 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-05 9,0615 9,0565 48,61 48,61 440,479515 440,236465 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-07 9,0615 9,0565 49,25 49,25 446,278875 446,032625 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-10 9,08619 9,08119 50,26 50,26 456,6719094 456,4206094 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-11 9,08619 9,08119 50,46 50,46 458,4891474 458,2368474 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-12 9,0455 9,0405 50,65 50,65 458,154575 457,901325 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-13 9,0505 9,0455 50,77 50,77 459,493885 459,240035 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-14 9,0455 9,0405 51,05 51,05 461,772775 461,517525 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-17 9,0685 9,0635 51,83 51,83 470,020355 469,761205 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-18 9,0585 9,0535 51,33 51,33 464,972805 464,716155 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-19 9,0225 9,0175 51,31 51,31 462,944475 462,687925 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-20 9,0315 9,0265 51,37 51,37 463,948155 463,691305 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-21 9,0505 9,0455 51,21 51,21 463,476105 463,220055 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-24 9,0655 9,0605 50,86 50,86 461,07133 460,81703 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-25 9,0715 9,0665 51,82 51,82 470,08513 469,82603 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-26 9,0885 9,0835 52,23 52,23 474,692355 474,431205 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-27 9,0675 9,0625 52,58 52,58 476,76915 476,50625 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-28 9,0955 9,0905 53,2 53,2 483,8806 483,6146 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-01-31 9,1075 9,1025 53,51 53,51 487,342325 487,074775 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-01 9,1035 9,0985 53,69 53,69 488,766915 488,498465 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-02 9,0905 9,0855 54,29 54,29 493,523245 493,251795 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-03 9,0695 9,0645 54,14 54,14 491,02273 490,75203 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-04 9,0895 9,0845 55,43 55,43 503,830985 503,553835 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-07 9,0755 9,0705 56,36 56,36 511,49518 511,21338 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-08 9,0895 9,0845 55,86 55,86 507,73947 507,46017 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-09 9,0695 9,0645 55,98 55,98 507,71061 507,43071 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-10 9,0805 9,0755 55,06 55,06 499,97233 499,69703 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-11 9,0935 9,0885 55,44 55,44 504,14364 503,86644 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-14 9,1105 9,1055 56,35 56,35 513,376675 513,094925 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-15 9,0765 9,0715 56,32 56,32 511,18848 510,90688 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-16 9,0705 9,0655 56,95 56,95 516,564975 516,280225 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-17 9,0925 9,0875 56,03 56,03 509,452775 509,172625 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-18 9,0945 9,0895 56,37 56,37 512,656965 512,375115 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-21 9,1185 9,1135 57,1 57,1 520,66635 520,38085 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-22 9,0975 9,0925 56,39 56,39 513,008025 512,726075 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-23 9,1045 9,0995 56,26 56,26 512,21917 511,93787 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-24 9,0715 9,0665 56,77 56,77 514,989055 514,705205 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-25 9,0845 9,0795 58,47 58,47 531,170715 530,878365 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-02-28 9,0505 9,0455 58,77 58,77 531,897885 531,604035 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-01 9,0565 9,0515 58,82 58,82 532,70333 532,40923 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-02 9,0645 9,0595 58,28 58,28 528,27906 527,98766 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-03 9,0675 9,0625 57,79 57,79 524,010825 523,721875 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-04 9,0415 9,0365 58,25 58,25 526,667375 526,376125 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-07 9,0425 9,0375 58,99 58,99 533,417075 533,122125 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-08 9,0345 9,0295 58,73 58,73 530,596185 530,302535 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-09 9,0365 9,0315 58,46 58,46 528,27379 527,98149 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-10 9,0655 9,0605 57,76 57,76 523,62328 523,33448 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-11 9,0795 9,0745 57,61 57,61 523,069995 522,781945 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-14 9,0695 9,0645 56,49 56,49 512,336055 512,053605 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-15 9,1035 9,0985 56,07 56,07 510,433245 510,152895 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-16 9,0975 9,0925 53,55 53,55 487,171125 486,903375 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-17 9,1045 9,0995 52,48 52,48 477,80416 477,54176 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-18 9,1035 9,0985 53,73 53,73 489,131055 488,862405 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-21 9,1265 9,1215 52,49 52,49 479,049985 478,787535 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-22 9,1265 9,1215 53,65 53,65 489,636725 489,368475 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-23 9,1165 9,1115 52,08 52,08 474,78732 474,52692 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-24 9,1135 9,1085 53,56 53,56 488,11906 487,85126 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-29 9,1315 9,1265 52,78 52,78 481,96057 481,69667 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-30 9,1425 9,1375 52,76 52,76 482,3583 482,0945 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-03-31 9,1405 9,1355 54,24 54,24 495,78072 495,50952 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-01 9,1645 9,1595 54,82 54,82 502,39789 502,12379 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-04 9,1695 9,1645 54,3 54,3 497,90385 497,63235 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-05 9,1745 9,1695 54,99 54,99 504,505755 504,230805 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-06 9,1705 9,1655 55,65 55,65 510,338325 510,060075 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-07 9,1505 9,1455 55,79 55,79 510,506395 510,227445 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-08 9,1625 9,1575 56,01 56,01 513,191625 512,911575 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-11 9,1705 9,1655 55,16 55,16 505,84478 505,56898 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-12 9,1525 9,1475 55,3 55,3 506,13325 505,85675 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-13 9,1495 9,1445 55,48 55,48 507,61426 507,33686 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-14 9,1685 9,1635 54,6 54,6 500,6001 500,3271 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-15 9,1925 9,1875 53,81 53,81 494,648425 494,379375 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-18 9,1805 9,1755 52,21 52,21 479,313905 479,052855 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-19 9,2035 9,1985 52,8 52,8 485,9448 485,6808 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-20 9,1915 9,1865 52,7 52,7 484,39205 484,12855 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-21 9,1855 9,1805 52,89 52,89 485,821095 485,556645 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-22 9,1625 9,1575 53,32 53,32 488,5445 488,2779 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-25 9,1685 9,1635 53,69 53,69 492,256765 491,988315 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-26 9,1375 9,1325 53,47 53,47 488,582125 488,314775 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-27 9,1465 9,1415 52,5 52,5 480,19125 479,92875 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-28 9,1505 9,1455 51,43 51,43 470,610215 470,353065 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-04-29 9,1705 9,1655 51,29 51,29 470,354945 470,098495 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-02 9,1935 9,1885 51,98 51,98 477,87813 477,61823 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-03 9,2245 9,2195 52,01 52,01 479,766245 479,506195 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-04 9,1915 9,1865 52,05 52,05 478,417575 478,157325 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-06 9,1715 9,1665 52,94 52,94 485,53921 485,27451 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-09 9,1815 9,1765 53,14 53,14 487,90491 487,63921 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-10 9,1985 9,1935 52,61 52,61 483,933085 483,670035 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-11 9,2105 9,2055 52,1 52,1 479,86705 479,60655 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-12 9,2315 9,2265 52,34 52,34 483,17671 482,91501 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-13 9,2045 9,1995 52,09 52,09 479,462405 479,201955 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-17 9,2325 9,2275 51,63 51,63 476,673975 476,415825 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-18 9,2095 9,2045 52,71 52,71 485,432745 485,169195 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-19 9,1905 9,1855 53,15 53,15 488,475075 488,209325 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-20 9,1955 9,1905 53,68 53,68 493,61444 493,34604 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-23 9,1805 9,1755 52,98 52,98 486,38289 486,11799 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-24 9,1815 9,1765 53,21 53,21 488,547615 488,281565 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-25 9,1785 9,1735 53,13 53,13 487,653705 487,388055 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-26 9,1945 9,1895 53,14 53,14 488,59573 488,33003 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-27 9,1955 9,1905 53,94 53,94 496,00527 495,73557 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-30 9,1905 9,1855 54,39 54,39 499,871295 499,599345 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-05-31 9,1665 9,1615 55,53 55,53 509,015745 508,738095 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-01 9,1455 9,1405 55,35 55,35 506,203425 505,926675 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-02 9,1565 9,1515 56,08 56,08 513,49652 513,21612 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-03 9,1315 9,1265 56,15 56,15 512,733725 512,452975 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-07 9,1455 9,1405 56,37 56,37 515,531835 515,249985 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-08 9,1455 9,1405 56,25 56,25 514,434375 514,153125 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-09 9,1965 9,1915 56,35 56,35 518,222775 517,941025 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-10 9,1975 9,1925 56,78 56,78 522,23405 521,95015 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-13 9,2365 9,2315 57,26 57,26 528,88199 528,59569 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-14 9,2985 9,2935 57,14 57,14 531,31629 531,03059 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-15 9,2695 9,2645 57,65 57,65 534,386675 534,098425 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-16 9,2695 9,2645 58,01 58,01 537,723695 537,433645 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-17 9,2695 9,2645 57,95 57,95 537,167525 536,877775 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-20 9,2255 9,2205 58,02 58,02 535,26351 534,97341 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-21 9,2725 9,2675 58,51 58,51 542,533975 542,241425 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-22 9,2615 9,2565 58,95 58,95 545,965425 545,670675 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-27 9,3855 9,3805 58,06 58,06 544,92213 544,63183 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-28 9,3995 9,3945 58,52 58,52 550,05874 549,76614 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-29 9,4215 9,4165 59,07 59,07 556,528005 556,232655 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-06-30 9,4415 9,4365 59,71 59,71 563,751965 563,453415 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-01 9,4595 9,4545 60,5 60,5 572,29975 571,99725 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-04 9,4795 9,4745 61,41 61,41 582,136095 581,829045 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-05 9,4575 9,4525 61,1 61,1 577,85325 577,54775 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-06 9,4195 9,4145 62,11 62,11 585,045145 584,734595 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-07 9,3965 9,3915 61,07 61,07 573,844255 573,538905 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-08 9,4175 9,4125 62,27 62,27 586,427725 586,116375 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-11 9,4665 9,4615 62,08 62,08 587,68032 587,36992 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-12 9,4645 9,4595 61,99 61,99 586,704355 586,394405 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-13 9,3915 9,3865 62,35 62,35 585,560025 585,248275 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-14 9,3675 9,3625 62,53 62,53 585,749775 585,437125 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-15 9,4055 9,4005 62,06 62,06 583,70533 583,39503 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-18 9,3895 9,3845 62,44 62,44 586,28038 585,96818 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-19 9,4425 9,4375 62,36 62,36 588,8343 588,5225 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-20 9,4265 9,4215 62,6 62,6 590,0989 589,7859 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-21 9,4625 9,4575 62,59 62,59 592,257875 591,944925 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-22 9,4495 9,4445 63,09 63,09 596,168955 595,853505 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-25 9,4275 9,4225 63,71 63,71 600,626025 600,307475 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-26 9,4155 9,4105 63,51 63,51 597,978405 597,660855 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-27 9,4725 9,4675 64,45 64,45 610,502625 610,180375 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-28 9,4515 9,4465 64,7 64,7 611,51205 611,18855 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-07-29 9,3885 9,3835 65,03 65,03 610,534155 610,209005 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-01 9,3985 9,3935 65,13 65,13 612,124305 611,798655 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-02 9,3995 9,3945 65,9 65,9 619,42705 619,09755 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-03 9,3755 9,3705 65,53 65,53 614,376515 614,048865 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-04 9,3735 9,3685 65,77 65,77 616,495095 616,166245 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-05 9,3355 9,3305 65,83 65,83 614,555965 614,226815 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-08 9,3335 9,3285 66,52 66,52 620,86442 620,53182 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-09 9,3455 9,3405 66,53 66,53 621,756115 621,423465 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-10 9,3535 9,3485 66,36 66,36 620,69826 620,36646 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-11 9,3365 9,3315 65,48 65,48 611,35402 611,02662 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-12 9,3025 9,2975 64,37 64,37 598,801925 598,480075 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-16 9,2995 9,2945 66,08 66,08 614,51096 614,18056 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-17 9,3405 9,3355 66,08 66,08 617,22024 616,88984 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-18 9,3365 9,3315 65,95 65,95 615,742175 615,412425 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-19 9,3395 9,3345 66,53 66,53 621,356935 621,024285 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-22 9,3655 9,3605 66,84 66,84 625,99002 625,65582 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-23 9,3715 9,3665 67,22 67,22 629,95223 629,61613 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-24 9,3365 9,3315 67,42 67,42 629,46683 629,12973 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-25 9,3335 9,3285 67,23 67,23 627,491205 627,155055 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-26 9,3415 9,3365 67,8 67,8 633,3537 633,0147 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-29 9,3295 9,3245 67,85 67,85 633,006575 632,667325 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-30 9,3285 9,3235 68,99 68,99 643,573215 643,228265 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-08-31 9,3585 9,3535 69,58 69,58 651,16443 650,81653 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-01 9,3365 9,3315 70,53 70,53 658,503345 658,150695 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-02 9,3025 9,2975 70,95 70,95 660,012375 659,657625 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-05 9,2845 9,2795 71,09 71,09 660,035105 659,679655 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-06 9,3225 9,3175 70,58 70,58 657,98205 657,62915 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-07 9,3075 9,3025 69,9 69,9 650,59425 650,24475 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-08 9,3255 9,3205 70,42 70,42 656,70171 656,34961 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-09 9,3445 9,3395 71,84 71,84 671,30888 670,94968 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-12 9,3015 9,2965 72,54 72,54 674,73081 674,36811 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-13 9,3015 9,2965 72,45 72,45 673,893675 673,531425 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-14 9,3365 9,3315 72,13 72,13 673,441745 673,081095 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-15 9,3425 9,3375 73,82 73,82 689,66335 689,29425 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-16 9,3465 9,3415 74,69 74,69 698,090085 697,716635 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-19 9,3355 9,3305 76,11 76,11 710,524905 710,144355 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-20 9,3395 9,3345 75,95 75,95 709,335025 708,955275 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-21 9,3405 9,3355 76,38 76,38 713,42739 713,04549 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-22 9,3405 9,3355 77,87 77,87 727,344735 726,955385 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-23 9,3695 9,3645 76,73 76,73 718,921735 718,538085 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-26 9,3815 9,3765 76,79 76,79 720,405385 720,021435 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-27 9,3885 9,3835 78,82 78,82 740,00157 739,60747 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-28 9,3935 9,3885 78,72 78,72 739,45632 739,06272 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-29 9,3845 9,3795 78,85 78,85 739,967825 739,573575 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-09-30 9,3435 9,3385 79,13 79,13 739,351155 738,955505 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-03 9,3025 9,2975 80,81 80,81 751,735025 751,330975 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-04 9,3185 9,3135 83,2 83,2 775,2992 774,8832 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-05 9,3105 9,3055 81,71 81,71 760,760955 760,352405 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-06 9,3015 9,2965 76,2 76,2 708,7743 708,3933 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-07 9,3385 9,3335 75,51 75,51 705,150135 704,772585 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-10 9,3465 9,3415 76,53 76,53 715,287645 714,904995 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-11 9,3395 9,3345 78,2 78,2 730,3489 729,9579 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-12 9,3375 9,3325 77,63 77,63 724,870125 724,481975 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-13 9,3815 9,3765 73,27 73,27 687,382505 687,016155 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-14 9,4135 9,4085 72,36 72,36 681,16086 680,79906 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-17 9,4575 9,4525 72,4 72,4 684,723 684,361 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-18 9,4625 9,4575 72,91 72,91 689,910875 689,546325 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-19 9,4605 9,4555 69,9 69,9 661,28895 660,93945 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-20 9,4935 9,4885 70,73 70,73 671,475255 671,121605 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-21 9,4915 9,4865 70,14 70,14 665,73381 665,38311 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-24 9,5455 9,5405 71,93 71,93 686,607815 686,248165 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-25 9,5465 9,5415 71,53 71,53 682,861145 682,503495 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-26 9,4975 9,4925 71,46 71,46 678,69135 678,33405 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-27 9,5355 9,5305 71,12 71,12 678,16476 677,80916 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-28 9,5135 9,5085 70,93 70,93 674,792555 674,437905 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-10-31 9,5495 9,5445 72,79 72,79 695,108105 694,744155 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-02 9,5855 9,5805 74,56 74,56 714,69488 714,32208 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-03 9,6515 9,6465 76,34 76,34 736,79551 736,41381 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-04 9,5875 9,5825 76,22 76,22 730,75925 730,37815 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-07 9,6075 9,6025 76,44 76,44 734,3973 734,0151 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-08 9,5685 9,5635 76,44 76,44 731,41614 731,03394 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-09 9,5575 9,5525 76,92 76,92 735,1629 734,7783 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-10 9,6105 9,6055 76,07 76,07 731,070735 730,690385 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-11 9,6365 9,6315 75,49 75,49 727,459385 727,081935 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-14 9,5505 9,5455 76,01 76,01 725,933505 725,553455 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-15 9,5805 9,5755 76,08 76,08 728,88444 728,50404 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-16 9,6235 9,6185 76,08 76,08 732,15588 731,77548 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-17 9,6355 9,6305 77,81 77,81 749,738255 749,349205 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-18 9,6085 9,6035 77,74 77,74 746,96479 746,57609 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-21 9,5915 9,5865 77,63 77,63 744,588145 744,199995 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-22 9,5585 9,5535 77,61 77,61 741,835185 741,447135 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-23 9,5155 9,5105 77,91 77,91 741,352605 740,963055 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-24 9,5125 9,5075 78,37 78,37 745,494625 745,102775 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-25 9,4965 9,4915 79,18 79,18 751,93287 751,53697 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-28 9,4835 9,4785 79,94 79,94 758,11099 757,71129 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-29 9,4785 9,4735 79,4 79,4 752,5929 752,1959 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-11-30 9,5295 9,5245 79,74 79,74 759,88233 759,48363 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-01 9,5165 9,5115 80,37 80,37 764,841105 764,439255 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-02 9,4905 9,4855 82,66 82,66 784,48473 784,07143 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-05 9,4065 9,4015 82 82 771,333 770,923 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-06 9,4185 9,4135 81,2 81,2 764,7822 764,3762 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-07 9,4255 9,4205 81,76 81,76 770,62888 770,22008 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-08 9,3965 9,3915 81,08 81,08 761,86822 761,46282 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-12 9,4315 9,4265 81,08 81,08 764,70602 764,30062 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-13 9,4295 9,4245 80,75 80,75 761,432125 761,028375 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-14 9,4365 9,4315 80,57 80,57 760,298805 759,895955 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-15 9,4345 9,4295 80,45 80,45 759,005525 758,603275 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-16 9,4765 9,4715 80,64 80,64 764,18496 763,78176 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-19 9,4535 9,4485 80,88 80,88 764,59908 764,19468 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-20 9,4015 9,3965 81,11 81,11 762,555665 762,150115 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-21 9,4485 9,4435 81,87 81,87 773,548695 773,139345 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-22 9,4365 9,4315 82,55 82,55 778,983075 778,570325 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-23 9,4425 9,4375 82,78 82,78 781,65015 781,23625 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-27 9,4915 9,4865 83,07 83,07 788,458905 788,043555 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-28 9,4345 9,4295 81,4 81,4 767,9683 767,5613 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-29 9,4115 9,4065 83,09 83,09 782,001535 781,586085 987784 BlackRock (Channel Islands) Limited MLIIF Emerging Europe Fund EUR 2005-12-30 9,4325 9,4275 83,09 83,09 783,746425 783,330975 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-03 6,668 6,658 14,01 14,01 93,41868 93,27858 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-04 6,728 6,718 13,87 13,87 93,31736 93,17866 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-05 6,828 6,818 13,55 13,55 92,5194 92,3839 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-07 6,87 6,86 13,51 13,51 92,8137 92,6786 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-10 6,96091 6,95091 13,55 13,55 94,3203305 94,1848305 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-11 6,96091 6,95091 13,5 13,5 93,972285 93,837285 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-12 6,913 6,903 13,53 13,53 93,53289 93,39759 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-13 6,843 6,833 13,67 13,67 93,54381 93,40711 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-14 6,915 6,905 13,72 13,72 94,8738 94,7366 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-17 6,915 6,905 13,86 13,86 95,8419 95,7033 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-18 6,968 6,958 13,77 13,77 95,94936 95,81166 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-19 6,91 6,9 13,79 13,79 95,2889 95,151 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-20 6,96 6,95 13,64 13,64 94,9344 94,798 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-21 6,978 6,968 13,65 13,65 95,2497 95,1132 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-24 6,933 6,923 13,72 13,72 95,12076 94,98356 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-25 6,95 6,94 13,8 13,8 95,91 95,772 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-26 6,995 6,985 13,85 13,85 96,88075 96,74225 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-27 6,93 6,92 13,93 13,93 96,5349 96,3956 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-28 6,985 6,975 13,98 13,98 97,6503 97,5105 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-01-31 6,998 6,988 14,15 14,15 99,0217 98,8802 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-01 6,993 6,983 14,17 14,17 99,09081 98,94911 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-02 6,953 6,943 14,21 14,21 98,80213 98,66003 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-03 6,968 6,958 14,27 14,27 99,43336 99,29066 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-04 7,01 7 14,35 14,35 100,5935 100,45 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-07 7,065 7,055 14,45 14,45 102,08925 101,94475 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-08 7,123 7,113 14,42 14,42 102,71366 102,56946 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-09 7,1 7,09 14,42 14,42 102,382 102,2378 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-10 7,088 7,078 14,4 14,4 102,0672 101,9232 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-11 7,068 7,058 14,46 14,46 102,20328 102,05868 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-14 7,03 7,02 14,66 14,66 103,0598 102,9132 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-15 7,005 6,995 14,7 14,7 102,9735 102,8265 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-16 6,973 6,963 14,75 14,75 102,85175 102,70425 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-17 6,97 6,96 14,71 14,71 102,5287 102,3816 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-18 6,965 6,955 14,76 14,76 102,8034 102,6558 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-21 6,978 6,968 14,75 14,75 102,9255 102,778 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-22 6,905 6,895 14,87 14,87 102,67735 102,52865 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-23 6,895 6,885 14,86 14,86 102,4597 102,3111 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-24 6,858 6,848 15,02 15,02 103,00716 102,85696 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-25 6,885 6,875 15,12 15,12 104,1012 103,95 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-02-28 6,828 6,818 15,27 15,27 104,26356 104,11086 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-01 6,87 6,86 15,19 15,19 104,3553 104,2034 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-02 6,888 6,878 15,01 15,01 103,38888 103,23878 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-03 6,903 6,893 15,09 15,09 104,16627 104,01537 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-04 6,9 6,89 15,12 15,12 104,328 104,1768 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-07 6,84 6,83 15,25 15,25 104,31 104,1575 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-08 6,825 6,815 15,18 15,18 103,6035 103,4517 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-09 6,76 6,75 15,23 15,23 102,9548 102,8025 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-10 6,745 6,735 15,09 15,09 101,78205 101,63115 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-11 6,765 6,755 15,12 15,12 102,2868 102,1356 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-14 6,76 6,75 14,88 14,88 100,5888 100,44 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-15 6,815 6,805 14,52 14,52 98,9538 98,8086 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-16 6,81 6,8 14,45 14,45 98,4045 98,26 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-17 6,795 6,785 14,39 14,39 97,78005 97,63615 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-18 6,828 6,818 14,48 14,48 98,86944 98,72464 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-21 6,908 6,898 14,35 14,35 99,1298 98,9863 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-22 6,928 6,918 14,31 14,31 99,13968 98,99658 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-23 6,973 6,963 14,02 14,02 97,76146 97,62126 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-24 7,008 6,998 13,98 13,98 97,97184 97,83204 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-29 7,055 7,045 13,79 13,79 97,28845 97,15055 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-30 7,053 7,043 13,74 13,74 96,90822 96,77082 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-03-31 7,065 7,055 14,06 14,06 99,3339 99,1933 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-01 7,07 7,06 14,3 14,3 101,101 100,958 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-04 7,113 7,103 14,14 14,14 100,57782 100,43642 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-05 7,163 7,153 14,15 14,15 101,35645 101,21495 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-06 7,125 7,115 14,21 14,21 101,24625 101,10415 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-07 7,083 7,073 14,16 14,16 100,29528 100,15368 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-08 7,153 7,143 14,23 14,23 101,78719 101,64489 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-11 7,098 7,088 14,2 14,2 100,7916 100,6496 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-12 7,048 7,038 14,21 14,21 100,15208 100,00998 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-13 7,075 7,065 14,24 14,24 100,748 100,6056 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-14 7,12 7,11 14,04 14,04 99,9648 99,8244 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-15 7,17 7,16 13,81 13,81 99,0177 98,8796 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-18 7,08 7,07 13,54 13,54 95,8632 95,7278 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-19 7,068 7,058 13,75 13,75 97,185 97,0475 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-20 7,043 7,033 13,82 13,82 97,33426 97,19606 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-21 7,025 7,015 13,85 13,85 97,29625 97,15775 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-22 7,023 7,013 13,91 13,91 97,68993 97,55083 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-25 7,04 7,03 13,95 13,95 98,208 98,0685 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-26 7,035 7,025 14 14 98,49 98,35 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-27 7,085 7,075 13,86 13,86 98,1981 98,0595 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-28 7,085 7,075 13,75 13,75 97,41875 97,28125 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-04-29 7,08 7,07 13,73 13,73 97,2084 97,0711 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-02 7,15 7,14 13,79 13,79 98,5985 98,4606 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-03 7,178 7,168 13,83 13,83 99,27174 99,13344 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-04 7,11 7,1 13,86 13,86 98,5446 98,406 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-06 7,085 7,075 14,33 14,33 101,52805 101,38475 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-09 7,168 7,158 14,28 14,28 102,35904 102,21624 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-10 7,178 7,168 14,24 14,24 102,21472 102,07232 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-11 7,15 7,14 14,1 14,1 100,815 100,674 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-12 7,243 7,233 14,11 14,11 102,19873 102,05763 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-13 7,265 7,255 13,98 13,98 101,5647 101,4249 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-17 7,313 7,303 13,97 13,97 102,16261 102,02291 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-18 7,3 7,29 14,05 14,05 102,565 102,4245 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-19 7,26 7,25 14,25 14,25 103,455 103,3125 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-20 7,28 7,27 14,24 14,24 103,6672 103,5248 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-23 7,32 7,31 14,15 14,15 103,578 103,4365 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-24 7,295 7,285 14,14 14,14 103,1513 103,0099 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-25 7,298 7,288 14,11 14,11 102,97478 102,83368 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-26 7,33 7,32 14,16 14,16 103,7928 103,6512 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-27 7,338 7,328 14,25 14,25 104,5665 104,424 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-30 7,338 7,328 14,37 14,37 105,44706 105,30336 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-05-31 7,403 7,393 14,35 14,35 106,23305 106,08955 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-01 7,428 7,418 14,21 14,21 105,55188 105,40978 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-02 7,473 7,463 14,31 14,31 106,93863 106,79553 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-03 7,438 7,428 14,44 14,44 107,40472 107,26032 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-07 7,448 7,438 14,37 14,37 107,02776 106,88406 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-08 7,435 7,425 14,41 14,41 107,13835 106,99425 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-09 7,523 7,513 14,28 14,28 107,42844 107,28564 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-10 7,525 7,515 14,39 14,39 108,28475 108,14085 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-13 7,643 7,633 14,41 14,41 110,13563 109,99153 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-14 7,663 7,653 14,39 14,39 110,27057 110,12667 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-15 7,693 7,683 14,51 14,51 111,62543 111,48033 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-16 7,678 7,668 14,56 14,56 111,79168 111,64608 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-17 7,643 7,633 14,68 14,68 112,19924 112,05244 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-20 7,543 7,533 14,64 14,64 110,42952 110,28312 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-21 7,648 7,638 14,57 14,57 111,43136 111,28566 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-22 7,608 7,598 14,74 14,74 112,14192 111,99452 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-27 7,73 7,72 14,56 14,56 112,5488 112,4032 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-28 7,76 7,75 14,64 14,64 113,6064 113,46 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-29 7,833 7,823 14,62 14,62 114,51846 114,37226 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-06-30 7,823 7,813 14,53 14,53 113,66819 113,52289 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-01 7,858 7,848 14,72 14,72 115,66976 115,52256 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-04 7,945 7,935 14,7 14,7 116,7915 116,6445 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-05 7,963 7,953 14,58 14,58 116,10054 115,95474 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-06 7,895 7,885 14,64 14,64 115,5828 115,4364 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-07 7,878 7,868 14,46 14,46 113,91588 113,77128 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-08 7,913 7,903 14,64 14,64 115,84632 115,69992 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-11 7,89 7,88 14,87 14,87 117,3243 117,1756 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-12 7,77 7,76 15,06 15,06 117,0162 116,8656 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-13 7,703 7,693 15,19 15,19 117,00857 116,85667 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-14 7,76 7,75 15,24 15,24 118,2624 118,11 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-15 7,76 7,75 15,13 15,13 117,4088 117,2575 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-18 7,78 7,77 15,09 15,09 117,4002 117,2493 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-19 7,878 7,868 15,18 15,18 119,58804 119,43624 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-20 7,818 7,808 15,22 15,22 118,98996 118,83776 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-21 7,775 7,765 15,33 15,33 119,19075 119,03745 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-22 7,758 7,748 15,42 15,42 119,62836 119,47416 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-25 7,838 7,828 15,36 15,36 120,39168 120,23808 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-26 7,818 7,808 15,22 15,22 118,98996 118,83776 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-27 7,905 7,895 15,3 15,3 120,9465 120,7935 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-28 7,848 7,838 15,49 15,49 121,56552 121,41062 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-07-29 7,748 7,738 15,57 15,57 120,63636 120,48066 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-01 7,72 7,71 15,72 15,72 121,3584 121,2012 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-02 7,7 7,69 15,92 15,92 122,584 122,4248 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-03 7,685 7,675 16,02 16,02 123,1137 122,9535 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-04 7,618 7,608 15,98 15,98 121,73564 121,57584 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-05 7,548 7,538 15,99 15,99 120,69252 120,53262 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-08 7,558 7,548 15,97 15,97 120,70126 120,54156 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-09 7,548 7,538 16,01 16,01 120,84348 120,68338 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-10 7,558 7,548 16,17 16,17 122,21286 122,05116 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-11 7,523 7,513 16,23 16,23 122,09829 121,93599 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-12 7,46 7,45 16,05 16,05 119,733 119,5725 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-16 7,523 7,513 16,05 16,05 120,74415 120,58365 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-17 7,605 7,595 15,96 15,96 121,3758 121,2162 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-18 7,61 7,6 15,85 15,85 120,6185 120,46 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-19 7,698 7,688 15,76 15,76 121,32048 121,16288 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-22 7,69 7,68 15,84 15,84 121,8096 121,6512 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-23 7,663 7,653 15,83 15,83 121,30529 121,14699 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-24 7,673 7,663 15,63 15,63 119,92899 119,77269 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-25 7,588 7,578 15,65 15,65 118,7522 118,5957 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-26 7,578 7,568 15,72 15,72 119,12616 118,96896 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-29 7,573 7,563 15,54 15,54 117,68442 117,52902 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-30 7,633 7,623 15,61 15,61 119,15113 118,99503 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-08-31 7,668 7,658 15,67 15,67 120,15756 120,00086 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-01 7,568 7,558 15,95 15,95 120,7096 120,5501 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-02 7,435 7,425 16,14 16,14 120,0009 119,8395 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-05 7,41 7,4 16,22 16,22 120,1902 120,028 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-06 7,485 7,475 16,21 16,21 121,33185 121,16975 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-07 7,43 7,42 16,24 16,24 120,6632 120,5008 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-08 7,498 7,488 16,32 16,32 122,36736 122,20416 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-09 7,523 7,513 16,39 16,39 123,30197 123,13807 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-12 7,555 7,545 16,5 16,5 124,6575 124,4925 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-13 7,57 7,56 16,48 16,48 124,7536 124,5888 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-14 7,61 7,6 16,45 16,45 125,1845 125,02 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-15 7,658 7,648 16,51 16,51 126,43358 126,26848 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-16 7,613 7,603 16,58 16,58 126,22354 126,05774 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-19 7,698 7,688 16,63 16,63 128,01774 127,85144 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-20 7,688 7,678 16,85 16,85 129,5428 129,3743 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-21 7,663 7,653 16,88 16,88 129,35144 129,18264 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-22 7,648 7,638 16,91 16,91 129,32768 129,15858 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-23 7,733 7,723 16,76 16,76 129,60508 129,43748 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-26 7,798 7,788 16,84 16,84 131,31832 131,14992 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-27 7,825 7,815 16,93 16,93 132,47725 132,30795 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-28 7,81 7,8 17,02 17,02 132,9262 132,756 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-29 7,785 7,775 17,13 17,13 133,35705 133,18575 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-09-30 7,785 7,775 17,22 17,22 134,0577 133,8855 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-03 7,783 7,773 17,28 17,28 134,49024 134,31744 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-04 7,82 7,81 17,45 17,45 136,459 136,2845 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-05 7,795 7,785 17,15 17,15 133,68425 133,51275 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-06 7,713 7,703 16,65 16,65 128,42145 128,25495 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-07 7,683 7,673 16,57 16,57 127,30731 127,14161 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-10 7,698 7,688 16,77 16,77 129,09546 128,92776 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-11 7,77 7,76 16,9 16,9 131,313 131,144 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-12 7,805 7,795 16,66 16,66 130,0313 129,8647 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-13 7,83 7,82 16,21 16,21 126,9243 126,7622 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-14 7,833 7,823 16,1 16,1 126,1113 125,9503 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-17 7,835 7,825 16,15 16,15 126,53525 126,37375 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-18 7,893 7,883 16,21 16,21 127,94553 127,78343 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-19 7,96 7,95 15,72 15,72 125,1312 124,974 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-20 7,93 7,92 15,85 15,85 125,6905 125,532 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-21 7,883 7,873 15,81 15,81 124,63023 124,47213 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-24 7,995 7,985 15,91 15,91 127,20045 127,04135 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-25 7,99 7,98 16 16 127,84 127,68 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-26 7,868 7,858 16 16 125,888 125,728 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-27 7,868 7,858 15,9 15,9 125,1012 124,9422 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-28 7,825 7,815 15,79 15,79 123,55675 123,39885 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-10-31 7,905 7,895 16,12 16,12 127,4286 127,2674 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-02 7,98 7,97 16,59 16,59 132,3882 132,2223 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-03 8,01 8 16,84 16,84 134,8884 134,72 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-04 8,028 8,018 16,81 16,81 134,95068 134,78258 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-07 8,135 8,125 16,74 16,74 136,1799 136,0125 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-08 8,17 8,16 16,73 16,73 136,6841 136,5168 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-09 8,12 8,11 16,85 16,85 136,822 136,6535 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-10 8,173 8,163 16,85 16,85 137,71505 137,54655 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-11 8,235 8,225 16,94 16,94 139,5009 139,3315 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-14 8,133 8,123 16,95 16,95 137,85435 137,68485 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-15 8,185 8,175 16,87 16,87 138,08095 137,91225 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-16 8,21 8,2 16,95 16,95 139,1595 138,99 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-17 8,258 8,248 17,12 17,12 141,37696 141,20576 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-18 8,223 8,213 17,24 17,24 141,76452 141,59212 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-21 8,123 8,113 17,3 17,3 140,5279 140,3549 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-22 8,15 8,14 17,09 17,09 139,2835 139,1126 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-23 8,048 8,038 17,44 17,44 140,35712 140,18272 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-24 8,053 8,043 17,51 17,51 141,00803 140,83293 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-25 8,078 8,068 17,54 17,54 141,68812 141,51272 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-28 8,118 8,108 17,68 17,68 143,52624 143,34944 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-29 8,015 8,005 17,59 17,59 140,98385 140,80795 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-11-30 8,088 8,078 17,63 17,63 142,59144 142,41514 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-01 8,083 8,073 17,73 17,73 143,31159 143,13429 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-02 8,103 8,093 17,9 17,9 145,0437 144,8647 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-05 8,045 8,035 17,99 17,99 144,72955 144,54965 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-06 7,993 7,983 18,06 18,06 144,35358 144,17298 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-07 8,015 8,005 18,25 18,25 146,27375 146,09125 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-08 7,988 7,978 18,08 18,08 144,42304 144,24224 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-12 7,953 7,943 18,12 18,12 144,10836 143,92716 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-13 7,905 7,895 18,15 18,15 143,47575 143,29425 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-14 7,848 7,838 18,28 18,28 143,46144 143,27864 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-15 7,858 7,848 18,26 18,26 143,48708 143,30448 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-16 7,903 7,893 18,19 18,19 143,75557 143,57367 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-19 7,865 7,855 18,3 18,3 143,9295 143,7465 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-20 7,848 7,838 18,27 18,27 143,38296 143,20026 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-21 7,948 7,938 18,5 18,5 147,038 146,853 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-22 7,98 7,97 18,57 18,57 148,1886 148,0029 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-23 7,955 7,945 18,65 18,65 148,36075 148,17425 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-27 8,01 8 18,76 18,76 150,2676 150,08 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-28 7,915 7,905 18,64 18,64 147,5356 147,3492 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-29 7,938 7,928 18,76 18,76 148,91688 148,72928 231100 BlackRock (Channel Islands) Limited MLIIF Emerging Markets Fund USD 2005-12-30 7,958 7,948 18,86 18,86 150,08788 149,89928 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-03 9,0065 9,0015 11,77 11,77 106,006505 105,947655 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-04 9,0345 9,0295 11,79 11,79 106,516755 106,457805 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-05 9,0615 9,0565 11,74 11,74 106,38201 106,32331 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-07 9,0615 9,0565 11,83 11,83 107,197545 107,138395 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-10 9,08619 9,08119 11,84 11,84 107,5804896 107,5212896 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-11 9,08619 9,08119 11,76 11,76 106,8535944 106,7947944 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-12 9,0455 9,0405 11,69 11,69 105,741895 105,683445 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-13 9,0505 9,0455 11,72 11,72 106,07186 106,01326 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-14 9,0455 9,0405 11,78 11,78 106,55599 106,49709 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-17 9,0685 9,0635 11,86 11,86 107,55241 107,49311 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-18 9,0585 9,0535 11,79 11,79 106,799715 106,740765 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-19 9,0225 9,0175 11,88 11,88 107,1873 107,1279 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-20 9,0315 9,0265 11,79 11,79 106,481385 106,422435 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-21 9,0505 9,0455 11,83 11,83 107,067415 107,008265 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-24 9,0655 9,0605 11,76 11,76 106,61028 106,55148 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-25 9,0715 9,0665 11,86 11,86 107,58799 107,52869 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-26 9,0885 9,0835 11,9 11,9 108,15315 108,09365 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-27 9,0675 9,0625 11,86 11,86 107,54055 107,48125 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-28 9,0955 9,0905 11,88 11,88 108,05454 107,99514 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-01-31 9,1075 9,1025 11,95 11,95 108,834625 108,774875 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-01 9,1035 9,0985 11,98 11,98 109,05993 109,00003 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-02 9,0905 9,0855 12,03 12,03 109,358715 109,298565 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-03 9,0695 9,0645 12 12 108,834 108,774 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-04 9,0895 9,0845 12,07 12,07 109,710265 109,649915 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-07 9,0755 9,0705 12,18 12,18 110,53959 110,47869 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-08 9,0895 9,0845 12,2 12,2 110,8919 110,8309 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-09 9,0695 9,0645 12,21 12,21 110,738595 110,677545 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-10 9,0805 9,0755 12,17 12,17 110,509685 110,448835 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-11 9,0935 9,0885 12,21 12,21 111,031635 110,970585 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-14 9,1105 9,1055 12,27 12,27 111,785835 111,724485 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-15 9,0765 9,0715 12,32 12,32 111,82248 111,76088 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-16 9,0705 9,0655 12,28 12,28 111,38574 111,32434 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-17 9,0925 9,0875 12,34 12,34 112,20145 112,13975 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-18 9,0945 9,0895 12,33 12,33 112,135185 112,073535 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-21 9,1185 9,1135 12,26 12,26 111,79281 111,73151 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-22 9,0975 9,0925 12,15 12,15 110,534625 110,473875 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-23 9,1045 9,0995 12,11 12,11 110,255495 110,194945 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-24 9,0715 9,0665 12,17 12,17 110,400155 110,339305 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-25 9,0845 9,0795 12,29 12,29 111,648505 111,587055 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-02-28 9,0505 9,0455 12,38 12,38 112,04519 111,98329 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-01 9,0565 9,0515 12,42 12,42 112,48173 112,41963 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-02 9,0645 9,0595 12,37 12,37 112,127865 112,066015 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-03 9,0675 9,0625 12,44 12,44 112,7997 112,7375 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-04 9,0415 9,0365 12,46 12,46 112,65709 112,59479 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-07 9,0425 9,0375 12,49 12,49 112,940825 112,878375 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-08 9,0345 9,0295 12,45 12,45 112,479525 112,417275 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-09 9,0365 9,0315 12,4 12,4 112,0526 111,9906 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-10 9,0655 9,0605 12,34 12,34 111,86827 111,80657 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-11 9,0795 9,0745 12,39 12,39 112,495005 112,433055 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-14 9,0695 9,0645 12,33 12,33 111,826935 111,765285 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-15 9,1035 9,0985 12,43 12,43 113,156505 113,094355 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-16 9,0975 9,0925 12,27 12,27 111,626325 111,564975 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-17 9,1045 9,0995 12,19 12,19 110,983855 110,922905 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-18 9,1035 9,0985 12,27 12,27 111,699945 111,638595 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-21 9,1265 9,1215 12,28 12,28 112,07342 112,01202 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-22 9,1265 9,1215 12,25 12,25 111,799625 111,738375 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-23 9,1165 9,1115 12,19 12,19 111,130135 111,069185 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-24 9,1135 9,1085 12,32 12,32 112,27832 112,21672 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-29 9,1315 9,1265 12,28 12,28 112,13482 112,07342 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-30 9,1425 9,1375 12,21 12,21 111,629925 111,568875 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-03-31 9,1405 9,1355 12,29 12,29 112,336745 112,275295 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-01 9,1645 9,1595 12,35 12,35 113,181575 113,119825 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-04 9,1695 9,1645 12,24 12,24 112,23468 112,17348 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-05 9,1745 9,1695 12,34 12,34 113,21333 113,15163 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-06 9,1705 9,1655 12,42 12,42 113,89761 113,83551 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-07 9,1505 9,1455 12,48 12,48 114,19824 114,13584 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-08 9,1625 9,1575 12,53 12,53 114,806125 114,743475 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-11 9,1705 9,1655 12,49 12,49 114,539545 114,477095 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-12 9,1525 9,1475 12,46 12,46 114,04015 113,97785 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-13 9,1495 9,1445 12,51 12,51 114,460245 114,397695 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-14 9,1685 9,1635 12,52 12,52 114,78962 114,72702 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-15 9,1925 9,1875 12,31 12,31 113,159675 113,098125 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-18 9,1805 9,1755 12 12 110,166 110,106 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-19 9,2035 9,1985 12 12 110,442 110,382 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-20 9,1915 9,1865 11,92 11,92 109,56268 109,50308 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-21 9,1855 9,1805 12 12 110,226 110,166 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-22 9,1625 9,1575 12,05 12,05 110,408125 110,347875 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-25 9,1685 9,1635 12,06 12,06 110,57211 110,51181 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-26 9,1375 9,1325 11,99 11,99 109,558625 109,498675 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-27 9,1465 9,1415 11,79 11,79 107,837235 107,778285 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-28 9,1505 9,1455 11,77 11,77 107,701385 107,642535 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-04-29 9,1705 9,1655 11,84 11,84 108,57872 108,51952 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-02 9,1935 9,1885 11,96 11,96 109,95426 109,89446 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-03 9,2245 9,2195 11,96 11,96 110,32502 110,26522 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-04 9,1915 9,1865 12 12 110,298 110,238 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-06 9,1715 9,1665 12,18 12,18 111,70887 111,64797 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-09 9,1815 9,1765 12,18 12,18 111,83067 111,76977 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-10 9,1985 9,1935 12,12 12,12 111,48582 111,42522 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-11 9,2105 9,2055 12,11 12,11 111,539155 111,478605 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-12 9,2315 9,2265 12,12 12,12 111,88578 111,82518 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-13 9,2045 9,1995 12,06 12,06 111,00627 110,94597 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-17 9,2325 9,2275 12,08 12,08 111,5286 111,4682 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-18 9,2095 9,2045 12,18 12,18 112,17171 112,11081 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-19 9,1905 9,1855 12,31 12,31 113,135055 113,073505 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-20 9,1955 9,1905 12,38 12,38 113,84029 113,77839 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-23 9,1805 9,1755 12,43 12,43 114,113615 114,051465 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-24 9,1815 9,1765 12,37 12,37 113,575155 113,513305 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-25 9,1785 9,1735 12,42 12,42 113,99697 113,93487 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-26 9,1945 9,1895 12,48 12,48 114,74736 114,68496 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-27 9,1955 9,1905 12,49 12,49 114,851795 114,789345 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-30 9,1905 9,1855 12,53 12,53 115,156965 115,094315 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-05-31 9,1665 9,1615 12,5 12,5 114,58125 114,51875 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-01 9,1455 9,1405 12,54 12,54 114,68457 114,62187 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-02 9,1565 9,1515 12,66 12,66 115,92129 115,85799 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-03 9,1315 9,1265 12,65 12,65 115,513475 115,450225 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-07 9,1455 9,1405 12,71 12,71 116,239305 116,175755 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-08 9,1455 9,1405 12,73 12,73 116,422215 116,358565 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-09 9,1965 9,1915 12,71 12,71 116,887515 116,823965 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-10 9,1975 9,1925 12,83 12,83 118,003925 117,939775 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-13 9,2365 9,2315 12,78 12,78 118,04247 117,97857 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-14 9,2985 9,2935 12,85 12,85 119,485725 119,421475 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-15 9,2695 9,2645 12,89 12,89 119,483855 119,419405 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-16 9,2695 9,2645 12,88 12,88 119,39116 119,32676 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-17 9,2695 9,2645 12,99 12,99 120,410805 120,345855 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-20 9,2255 9,2205 12,89 12,89 118,916695 118,852245 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-21 9,2725 9,2675 12,93 12,93 119,893425 119,828775 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-22 9,2615 9,2565 12,98 12,98 120,21427 120,14937 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-27 9,3855 9,3805 12,79 12,79 120,040545 119,976595 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-28 9,3995 9,3945 12,86 12,86 120,87757 120,81327 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-29 9,4215 9,4165 12,96 12,96 122,10264 122,03784 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-06-30 9,4415 9,4365 13,07 13,07 123,400405 123,335055 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-01 9,4595 9,4545 13,08 13,08 123,73026 123,66486 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-04 9,4795 9,4745 13,16 13,16 124,75022 124,68442 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-05 9,4575 9,4525 13,09 13,09 123,798675 123,733225 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-06 9,4195 9,4145 13,2 13,2 124,3374 124,2714 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-07 9,3965 9,3915 13 13 122,1545 122,0895 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-08 9,4175 9,4125 13,18 13,18 124,12265 124,05675 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-11 9,4665 9,4615 13,31 13,31 125,999115 125,932565 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-12 9,4645 9,4595 13,31 13,31 125,972495 125,905945 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-13 9,3915 9,3865 13,37 13,37 125,564355 125,497505 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-14 9,3675 9,3625 13,44 13,44 125,8992 125,832 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-15 9,4055 9,4005 13,41 13,41 126,127755 126,060705 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-18 9,3895 9,3845 13,42 13,42 126,00709 125,93999 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-19 9,4425 9,4375 13,5 13,5 127,47375 127,40625 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-20 9,4265 9,4215 13,53 13,53 127,540545 127,472895 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-21 9,4625 9,4575 13,62 13,62 128,87925 128,81115 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-22 9,4495 9,4445 13,56 13,56 128,13522 128,06742 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-25 9,4275 9,4225 13,61 13,61 128,308275 128,240225 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-26 9,4155 9,4105 13,63 13,63 128,333265 128,265115 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-27 9,4725 9,4675 13,7 13,7 129,77325 129,70475 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-28 9,4515 9,4465 13,76 13,76 130,05264 129,98384 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-07-29 9,3885 9,3835 13,81 13,81 129,655185 129,586135 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-01 9,3985 9,3935 13,81 13,81 129,793285 129,724235 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-02 9,3995 9,3945 13,81 13,81 129,807095 129,738045 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-03 9,3755 9,3705 13,82 13,82 129,56941 129,50031 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-04 9,3735 9,3685 13,72 13,72 128,60442 128,53582 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-05 9,3355 9,3305 13,68 13,68 127,70964 127,64124 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-08 9,3335 9,3285 13,68 13,68 127,68228 127,61388 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-09 9,3455 9,3405 13,75 13,75 128,500625 128,431875 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-10 9,3535 9,3485 13,87 13,87 129,733045 129,663695 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-11 9,3365 9,3315 13,86 13,86 129,40389 129,33459 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-12 9,3025 9,2975 13,84 13,84 128,7466 128,6774 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-16 9,2995 9,2945 13,8 13,8 128,3331 128,2641 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-17 9,3405 9,3355 13,67 13,67 127,684635 127,616285 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-18 9,3365 9,3315 13,61 13,61 127,069765 127,001715 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-19 9,3395 9,3345 13,7 13,7 127,95115 127,88265 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-22 9,3655 9,3605 13,79 13,79 129,150245 129,081295 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-23 9,3715 9,3665 13,72 13,72 128,57698 128,50838 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-24 9,3365 9,3315 13,6 13,6 126,9764 126,9084 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-25 9,3335 9,3285 13,52 13,52 126,18892 126,12132 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-26 9,3415 9,3365 13,46 13,46 125,73659 125,66929 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-29 9,3295 9,3245 13,44 13,44 125,38848 125,32128 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-30 9,3285 9,3235 13,49 13,49 125,841465 125,774015 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-08-31 9,3585 9,3535 13,53 13,53 126,620505 126,552855 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-01 9,3365 9,3315 13,65 13,65 127,443225 127,374975 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-02 9,3025 9,2975 13,59 13,59 126,420975 126,353025 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-05 9,2845 9,2795 13,64 13,64 126,64058 126,57238 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-06 9,3225 9,3175 13,7 13,7 127,71825 127,64975 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-07 9,3075 9,3025 13,79 13,79 128,350425 128,281475 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-08 9,3255 9,3205 13,78 13,78 128,50539 128,43649 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-09 9,3445 9,3395 13,85 13,85 129,421325 129,352075 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-12 9,3015 9,2965 13,89 13,89 129,197835 129,128385 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-13 9,3015 9,2965 13,78 13,78 128,17467 128,10577 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-14 9,3365 9,3315 13,77 13,77 128,563605 128,494755 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-15 9,3425 9,3375 13,78 13,78 128,73965 128,67075 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-16 9,3465 9,3415 13,89 13,89 129,822885 129,753435 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-19 9,3355 9,3305 13,89 13,89 129,670095 129,600645 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-20 9,3395 9,3345 13,92 13,92 130,00584 129,93624 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-21 9,3405 9,3355 13,81 13,81 128,992305 128,923255 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-22 9,3405 9,3355 13,71 13,71 128,058255 127,989705 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-23 9,3695 9,3645 13,75 13,75 128,830625 128,761875 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-26 9,3815 9,3765 13,95 13,95 130,871925 130,802175 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-27 9,3885 9,3835 13,96 13,96 131,06346 130,99366 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-28 9,3935 9,3885 14,06 14,06 132,07261 132,00231 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-29 9,3845 9,3795 14,03 14,03 131,664535 131,594385 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-09-30 9,3435 9,3385 14,09 14,09 131,649915 131,579465 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-03 9,3025 9,2975 14,15 14,15 131,630375 131,559625 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-04 9,3185 9,3135 14,14 14,14 131,76359 131,69289 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-05 9,3105 9,3055 14,08 14,08 131,09184 131,02144 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-06 9,3015 9,2965 13,84 13,84 128,73276 128,66356 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-07 9,3385 9,3335 13,87 13,87 129,524995 129,455645 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-10 9,3465 9,3415 13,87 13,87 129,635955 129,566605 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-11 9,3395 9,3345 13,9 13,9 129,81905 129,74955 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-12 9,3375 9,3325 13,88 13,88 129,6045 129,5351 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-13 9,3815 9,3765 13,64 13,64 127,96366 127,89546 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-14 9,4135 9,4085 13,68 13,68 128,77668 128,70828 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-17 9,4575 9,4525 13,71 13,71 129,662325 129,593775 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-18 9,4625 9,4575 13,64 13,64 129,0685 129,0003 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-19 9,4605 9,4555 13,36 13,36 126,39228 126,32548 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-20 9,4935 9,4885 13,44 13,44 127,59264 127,52544 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-21 9,4915 9,4865 13,29 13,29 126,142035 126,075585 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-24 9,5455 9,5405 13,44 13,44 128,29152 128,22432 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-25 9,5465 9,5415 13,55 13,55 129,355075 129,287325 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-26 9,4975 9,4925 13,54 13,54 128,59615 128,52845 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-27 9,5355 9,5305 13,41 13,41 127,871055 127,804005 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-28 9,5135 9,5085 13,34 13,34 126,91009 126,84339 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-10-31 9,5495 9,5445 13,59 13,59 129,777705 129,709755 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-02 9,5855 9,5805 13,66 13,66 130,93793 130,86963 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-03 9,6515 9,6465 13,92 13,92 134,34888 134,27928 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-04 9,5875 9,5825 13,9 13,9 133,26625 133,19675 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-07 9,6075 9,6025 13,9 13,9 133,54425 133,47475 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-08 9,5685 9,5635 13,83 13,83 132,332355 132,263205 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-09 9,5575 9,5525 13,83 13,83 132,180225 132,111075 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-10 9,6105 9,6055 13,9 13,9 133,58595 133,51645 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-11 9,6365 9,6315 13,99 13,99 134,814635 134,744685 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-14 9,5505 9,5455 14,07 14,07 134,375535 134,305185 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-15 9,5805 9,5755 13,96 13,96 133,74378 133,67398 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-16 9,6235 9,6185 13,94 13,94 134,15159 134,08189 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-17 9,6355 9,6305 14,01 14,01 134,993355 134,923305 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-18 9,6085 9,6035 14,08 14,08 135,28768 135,21728 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-21 9,5915 9,5865 14,11 14,11 135,336065 135,265515 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-22 9,5585 9,5535 14,16 14,16 135,34836 135,27756 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-23 9,5155 9,5105 14,25 14,25 135,595875 135,524625 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-24 9,5125 9,5075 14,24 14,24 135,458 135,3868 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-25 9,4965 9,4915 14,31 14,31 135,894915 135,823365 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-28 9,4835 9,4785 14,29 14,29 135,519215 135,447765 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-29 9,4785 9,4735 14,25 14,25 135,068625 134,997375 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-11-30 9,5295 9,5245 14,17 14,17 135,033015 134,962165 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-01 9,5165 9,5115 14,32 14,32 136,27628 136,20468 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-02 9,4905 9,4855 14,41 14,41 136,758105 136,686055 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-05 9,4065 9,4015 14,44 14,44 135,82986 135,75766 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-06 9,4185 9,4135 14,45 14,45 136,097325 136,025075 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-07 9,4255 9,4205 14,5 14,5 136,66975 136,59725 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-08 9,3965 9,3915 14,43 14,43 135,591495 135,519345 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-12 9,4315 9,4265 14,53 14,53 137,039695 136,967045 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-13 9,4295 9,4245 14,53 14,53 137,010635 136,937985 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-14 9,4365 9,4315 14,55 14,55 137,301075 137,228325 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-15 9,4345 9,4295 14,54 14,54 137,17763 137,10493 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-16 9,4765 9,4715 14,64 14,64 138,73596 138,66276 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-19 9,4535 9,4485 14,63 14,63 138,304705 138,231555 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-20 9,4015 9,3965 14,61 14,61 137,355915 137,282865 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-21 9,4485 9,4435 14,75 14,75 139,365375 139,291625 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-22 9,4365 9,4315 14,79 14,79 139,565835 139,491885 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-23 9,4425 9,4375 14,8 14,8 139,749 139,675 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-27 9,4915 9,4865 14,85 14,85 140,948775 140,874525 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-28 9,4345 9,4295 14,84 14,84 140,00798 139,93378 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-29 9,4115 9,4065 14,87 14,87 139,949005 139,874655 916122 BlackRock (Channel Islands) Limited MLIIF Euro Markets Fund EUR 2005-12-30 9,4325 9,4275 14,79 14,79 139,506675 139,432725 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-03 9,0065 9,0015 50,23 50,23 452,396495 452,145345 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-04 9,0345 9,0295 50,37 50,37 455,067765 454,815915 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-05 9,0615 9,0565 50,2 50,2 454,8873 454,6363 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-07 9,0615 9,0565 50,51 50,51 457,696365 457,443815 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-10 9,08619 9,08119 50,63 50,63 460,0337997 459,7806497 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-11 9,08619 9,08119 50,15 50,15 455,6724285 455,4216785 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-12 9,0455 9,0405 49,81 49,81 450,556355 450,307305 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-13 9,0505 9,0455 49,82 49,82 450,89591 450,64681 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-14 9,0455 9,0405 50,05 50,05 452,727275 452,477025 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-17 9,0685 9,0635 50,29 50,29 456,054865 455,803415 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-18 9,0585 9,0535 50,09 50,09 453,740265 453,489815 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-19 9,0225 9,0175 50,47 50,47 455,365575 455,113225 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-20 9,0315 9,0265 50,18 50,18 453,20067 452,94977 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-21 9,0505 9,0455 50,22 50,22 454,51611 454,26501 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-24 9,0655 9,0605 50,07 50,07 453,909585 453,659235 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-25 9,0715 9,0665 50,49 50,49 458,020035 457,767585 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-26 9,0885 9,0835 50,66 50,66 460,42341 460,17011 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-27 9,0675 9,0625 50,5 50,5 457,90875 457,65625 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-28 9,0955 9,0905 50,62 50,62 460,41421 460,16111 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-01-31 9,1075 9,1025 50,85 50,85 463,116375 462,862125 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-01 9,1035 9,0985 50,97 50,97 464,005395 463,750545 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-02 9,0905 9,0855 51,21 51,21 465,524505 465,268455 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-03 9,0695 9,0645 51,26 51,26 464,90257 464,64627 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-04 9,0895 9,0845 51,67 51,67 469,654465 469,396115 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-07 9,0755 9,0705 52,04 52,04 472,28902 472,02882 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-08 9,0895 9,0845 52,03 52,03 472,926685 472,666535 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-09 9,0695 9,0645 52,18 52,18 473,24651 472,98561 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-10 9,0805 9,0755 52,13 52,13 473,366465 473,105815 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-11 9,0935 9,0885 52,29 52,29 475,499115 475,237665 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-14 9,1105 9,1055 52,52 52,52 478,48346 478,22086 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-15 9,0765 9,0715 52,71 52,71 478,422315 478,158765 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-16 9,0705 9,0655 52,5 52,5 476,20125 475,93875 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-17 9,0925 9,0875 52,69 52,69 479,083825 478,820375 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-18 9,0945 9,0895 52,64 52,64 478,73448 478,47128 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-21 9,1185 9,1135 52,48 52,48 478,53888 478,27648 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-22 9,0975 9,0925 51,93 51,93 472,433175 472,173525 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-23 9,1045 9,0995 51,72 51,72 470,88474 470,62614 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-24 9,0715 9,0665 51,76 51,76 469,54084 469,28204 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-25 9,0845 9,0795 52,17 52,17 473,938365 473,677515 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-02-28 9,0505 9,0455 52,43 52,43 474,517715 474,255565 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-01 9,0565 9,0515 52,65 52,65 476,824725 476,561475 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-02 9,0645 9,0595 52,5 52,5 475,88625 475,62375 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-03 9,0675 9,0625 52,91 52,91 479,761425 479,496875 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-04 9,0415 9,0365 53,13 53,13 480,374895 480,109245 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-07 9,0425 9,0375 53,12 53,12 480,3376 480,072 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-08 9,0345 9,0295 52,88 52,88 477,74436 477,47996 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-09 9,0365 9,0315 52,65 52,65 475,771725 475,508475 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-10 9,0655 9,0605 52,34 52,34 474,48827 474,22657 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-11 9,0795 9,0745 52,42 52,42 475,94739 475,68529 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-14 9,0695 9,0645 52,17 52,17 473,155815 472,894965 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-15 9,1035 9,0985 52,61 52,61 478,935135 478,672085 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-16 9,0975 9,0925 52,15 52,15 474,434625 474,173875 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-17 9,1045 9,0995 51,78 51,78 471,43101 471,17211 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-18 9,1035 9,0985 51,95 51,95 472,926825 472,667075 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-21 9,1265 9,1215 52,13 52,13 475,764445 475,503795 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-22 9,1265 9,1215 51,98 51,98 474,39547 474,13557 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-23 9,1165 9,1115 51,57 51,57 470,137905 469,880055 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-24 9,1135 9,1085 51,93 51,93 473,264055 473,004405 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-29 9,1315 9,1265 51,8 51,8 473,0117 472,7527 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-30 9,1425 9,1375 51,68 51,68 472,4844 472,226 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-03-31 9,1405 9,1355 52,1 52,1 476,22005 475,95955 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-01 9,1645 9,1595 52,57 52,57 481,777765 481,514915 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-04 9,1695 9,1645 52,19 52,19 478,556205 478,295255 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-05 9,1745 9,1695 52,64 52,64 482,94568 482,68248 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-06 9,1705 9,1655 52,83 52,83 484,477515 484,213365 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-07 9,1505 9,1455 53 53 484,9765 484,7115 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-08 9,1625 9,1575 53,33 53,33 488,636125 488,369475 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-11 9,1705 9,1655 53,21 53,21 487,962305 487,696255 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-12 9,1525 9,1475 53,01 53,01 485,174025 484,908975 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-13 9,1495 9,1445 53,18 53,18 486,57041 486,30451 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-14 9,1685 9,1635 53,15 53,15 487,305775 487,040025 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-15 9,1925 9,1875 52,44 52,44 482,0547 481,7925 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-18 9,1805 9,1755 51,31 51,31 471,051455 470,794905 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-19 9,2035 9,1985 51,68 51,68 475,63688 475,37848 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-20 9,1915 9,1865 51,45 51,45 472,902675 472,645425 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-21 9,1855 9,1805 51,51 51,51 473,145105 472,887555 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-22 9,1625 9,1575 51,75 51,75 474,159375 473,900625 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-25 9,1685 9,1635 51,94 51,94 476,21189 475,95219 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-26 9,1375 9,1325 51,59 51,59 471,403625 471,145675 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-27 9,1465 9,1415 50,8 50,8 464,6422 464,3882 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-28 9,1505 9,1455 50,55 50,55 462,557775 462,305025 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-04-29 9,1705 9,1655 51 51 467,6955 467,4405 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-02 9,1935 9,1885 51,15 51,15 470,247525 469,991775 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-03 9,2245 9,2195 51,28 51,28 473,03236 472,77596 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-04 9,1915 9,1865 51,4 51,4 472,4431 472,1861 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-06 9,1715 9,1665 51,89 51,89 475,909135 475,649685 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-09 9,1815 9,1765 51,85 51,85 476,060775 475,801525 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-10 9,1985 9,1935 51,63 51,63 474,918555 474,660405 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-11 9,2105 9,2055 51,5 51,5 474,34075 474,08325 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-12 9,2315 9,2265 51,49 51,49 475,329935 475,072485 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-13 9,2045 9,1995 51,26 51,26 471,82267 471,56637 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-17 9,2325 9,2275 51,33 51,33 473,904225 473,647575 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-18 9,2095 9,2045 51,75 51,75 476,591625 476,332875 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-19 9,1905 9,1855 52,22 52,22 479,92791 479,66681 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-20 9,1955 9,1905 52,35 52,35 481,384425 481,122675 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-23 9,1805 9,1755 52,56 52,56 482,52708 482,26428 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-24 9,1815 9,1765 52,49 52,49 481,936935 481,674485 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-25 9,1785 9,1735 52,59 52,59 482,697315 482,434365 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-26 9,1945 9,1895 52,77 52,77 485,193765 484,929915 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-27 9,1955 9,1905 53,05 53,05 487,821275 487,556025 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-30 9,1905 9,1855 53,22 53,22 489,11841 488,85231 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-05-31 9,1665 9,1615 53,26 53,26 488,20779 487,94149 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-01 9,1455 9,1405 53,7 53,7 491,11335 490,84485 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-02 9,1565 9,1515 54,08 54,08 495,18352 494,91312 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-03 9,1315 9,1265 54,11 54,11 494,105465 493,834915 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-07 9,1455 9,1405 54,66 54,66 499,89303 499,61973 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-08 9,1455 9,1405 54,75 54,75 500,716125 500,442375 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-09 9,1965 9,1915 54,82 54,82 504,15213 503,87803 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-10 9,1975 9,1925 55,33 55,33 508,897675 508,621025 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-13 9,2365 9,2315 55,3 55,3 510,77845 510,50195 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-14 9,2985 9,2935 55,42 55,42 515,32287 515,04577 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-15 9,2695 9,2645 55,66 55,66 515,94037 515,66207 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-16 9,2695 9,2645 55,73 55,73 516,589235 516,310585 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-17 9,2695 9,2645 56,18 56,18 520,76051 520,47961 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-20 9,2255 9,2205 55,74 55,74 514,22937 513,95067 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-21 9,2725 9,2675 55,94 55,94 518,70365 518,42395 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-22 9,2615 9,2565 56,21 56,21 520,588915 520,307865 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-27 9,3855 9,3805 55,52 55,52 521,08296 520,80536 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-28 9,3995 9,3945 55,91 55,91 525,526045 525,246495 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-29 9,4215 9,4165 56,17 56,17 529,205655 528,924805 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-06-30 9,4415 9,4365 56,35 56,35 532,028525 531,746775 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-01 9,4595 9,4545 56,34 56,34 532,94823 532,66653 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-04 9,4795 9,4745 56,66 56,66 537,10847 536,82517 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-05 9,4575 9,4525 56,41 56,41 533,497575 533,215525 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-06 9,4195 9,4145 56,81 56,81 535,121795 534,837745 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-07 9,3965 9,3915 55,65 55,65 522,915225 522,636975 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-08 9,4175 9,4125 56,43 56,43 531,429525 531,147375 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-11 9,4665 9,4615 56,84 56,84 538,07586 537,79166 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-12 9,4645 9,4595 56,82 56,82 537,77289 537,48879 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-13 9,3915 9,3865 57,1 57,1 536,25465 535,96915 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-14 9,3675 9,3625 57,35 57,35 537,226125 536,939375 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-15 9,4055 9,4005 56,99 56,99 536,019445 535,734495 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-18 9,3895 9,3845 56,87 56,87 533,980865 533,696515 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-19 9,4425 9,4375 57,21 57,21 540,205425 539,919375 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-20 9,4265 9,4215 57,05 57,05 537,781825 537,496575 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-21 9,4625 9,4575 57,34 57,34 542,57975 542,29305 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-22 9,4495 9,4445 57,29 57,29 541,361855 541,075405 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-25 9,4275 9,4225 57,55 57,55 542,552625 542,264875 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-26 9,4155 9,4105 57,69 57,69 543,180195 542,891745 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-27 9,4725 9,4675 58,03 58,03 549,689175 549,399025 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-28 9,4515 9,4465 58,08 58,08 548,94312 548,65272 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-07-29 9,3885 9,3835 58,34 58,34 547,72509 547,43339 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-01 9,3985 9,3935 58,35 58,35 548,402475 548,110725 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-02 9,3995 9,3945 58,51 58,51 549,964745 549,672195 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-03 9,3755 9,3705 58,5 58,5 548,46675 548,17425 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-04 9,3735 9,3685 58,1 58,1 544,60035 544,30985 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-05 9,3355 9,3305 58,03 58,03 541,739065 541,448915 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-08 9,3335 9,3285 58,41 58,41 545,169735 544,877685 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-09 9,3455 9,3405 58,7 58,7 548,58085 548,28735 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-10 9,3535 9,3485 59,2 59,2 553,7272 553,4312 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-11 9,3365 9,3315 59,13 59,13 552,067245 551,771595 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-12 9,3025 9,2975 59,05 59,05 549,312625 549,017375 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-16 9,2995 9,2945 58,93 58,93 548,019535 547,724885 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-17 9,3405 9,3355 58,44 58,44 545,85882 545,56662 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-18 9,3365 9,3315 58,3 58,3 544,31795 544,02645 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-19 9,3395 9,3345 58,68 58,68 548,04186 547,74846 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-22 9,3655 9,3605 59,1 59,1 553,50105 553,20555 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-23 9,3715 9,3665 58,83 58,83 551,325345 551,031195 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-24 9,3365 9,3315 58,48 58,48 545,99852 545,70612 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-25 9,3335 9,3285 58,17 58,17 542,929695 542,638845 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-26 9,3415 9,3365 58,02 58,02 541,99383 541,70373 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-29 9,3295 9,3245 57,9 57,9 540,17805 539,88855 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-30 9,3285 9,3235 58,13 58,13 542,265705 541,975055 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-08-31 9,3585 9,3535 58,4 58,4 546,5364 546,2444 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-01 9,3365 9,3315 59,03 59,03 551,133595 550,838445 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-02 9,3025 9,2975 59,13 59,13 550,056825 549,761175 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-05 9,2845 9,2795 59,38 59,38 551,31361 551,01671 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-06 9,3225 9,3175 59,68 59,68 556,3668 556,0684 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-07 9,3075 9,3025 59,97 59,97 558,170775 557,870925 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-08 9,3255 9,3205 59,86 59,86 558,22443 557,92513 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-09 9,3445 9,3395 60,1 60,1 561,60445 561,30395 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-12 9,3015 9,2965 60,35 60,35 561,345525 561,043775 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-13 9,3015 9,2965 59,74 59,74 555,67161 555,37291 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-14 9,3365 9,3315 59,77 59,77 558,042605 557,743755 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-15 9,3425 9,3375 59,99 59,99 560,456575 560,156625 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-16 9,3465 9,3415 60,46 60,46 565,08939 564,78709 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-19 9,3355 9,3305 60,58 60,58 565,54459 565,24169 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-20 9,3395 9,3345 60,69 60,69 566,814255 566,510805 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-21 9,3405 9,3355 60,08 60,08 561,17724 560,87684 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-22 9,3405 9,3355 59,68 59,68 557,44104 557,14264 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-23 9,3695 9,3645 59,84 59,84 560,67088 560,37168 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-26 9,3815 9,3765 60,48 60,48 567,39312 567,09072 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-27 9,3885 9,3835 60,37 60,37 566,783745 566,481895 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-28 9,3935 9,3885 60,88 60,88 571,87628 571,57188 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-29 9,3845 9,3795 60,64 60,64 569,07608 568,77288 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-09-30 9,3435 9,3385 60,84 60,84 568,45854 568,15434 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-03 9,3025 9,2975 61,25 61,25 569,778125 569,471875 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-04 9,3185 9,3135 61,29 61,29 571,130865 570,824415 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-05 9,3105 9,3055 61,03 61,03 568,219815 567,914665 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-06 9,3015 9,2965 59,87 59,87 556,880805 556,581455 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-07 9,3385 9,3335 59,77 59,77 558,162145 557,863295 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-10 9,3465 9,3415 59,79 59,79 558,827235 558,528285 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-11 9,3395 9,3345 60,03 60,03 560,650185 560,350035 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-12 9,3375 9,3325 59,8 59,8 558,3825 558,0835 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-13 9,3815 9,3765 58,71 58,71 550,787865 550,494315 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-14 9,4135 9,4085 58,8 58,8 553,5138 553,2198 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-17 9,4575 9,4525 58,91 58,91 557,141325 556,846775 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-18 9,4625 9,4575 58,51 58,51 553,650875 553,358325 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-19 9,4605 9,4555 57,59 57,59 544,830195 544,542245 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-20 9,4935 9,4885 58,15 58,15 552,047025 551,756275 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-21 9,4915 9,4865 57,6 57,6 546,7104 546,4224 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-24 9,5455 9,5405 58,36 58,36 557,07538 556,78358 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-25 9,5465 9,5415 58,71 58,71 560,475015 560,181465 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-26 9,4975 9,4925 58,66 58,66 557,12335 556,83005 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-27 9,5355 9,5305 58,3 58,3 555,91965 555,62815 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-28 9,5135 9,5085 58,13 58,13 553,019755 552,729105 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-10-31 9,5495 9,5445 59,72 59,72 570,29614 569,99754 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-02 9,5855 9,5805 60,24 60,24 577,43052 577,12932 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-03 9,6515 9,6465 61,54 61,54 593,95331 593,64561 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-04 9,5875 9,5825 61,52 61,52 589,823 589,5154 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-07 9,6075 9,6025 61,63 61,63 592,110225 591,802075 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-08 9,5685 9,5635 61,32 61,32 586,74042 586,43382 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-09 9,5575 9,5525 61,22 61,22 585,11015 584,80405 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-10 9,6105 9,6055 61,65 61,65 592,487325 592,179075 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-11 9,6365 9,6315 62,02 62,02 597,65573 597,34563 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-14 9,5505 9,5455 62,22 62,22 594,23211 593,92101 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-15 9,5805 9,5755 61,81 61,81 592,170705 591,861655 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-16 9,6235 9,6185 61,62 61,62 593,00007 592,69197 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-17 9,6355 9,6305 61,91 61,91 596,533805 596,224255 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-18 9,6085 9,6035 62,26 62,26 598,22521 597,91391 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-21 9,5915 9,5865 62,22 62,22 596,78313 596,47203 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-22 9,5585 9,5535 62,79 62,79 600,178215 599,864265 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-23 9,5155 9,5105 62,83 62,83 597,858865 597,544715 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-24 9,5125 9,5075 62,65 62,65 595,958125 595,644875 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-25 9,4965 9,4915 63,04 63,04 598,65936 598,34416 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-28 9,4835 9,4785 62,85 62,85 596,037975 595,723725 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-29 9,4785 9,4735 62,55 62,55 592,880175 592,567425 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-11-30 9,5295 9,5245 62,26 62,26 593,30667 592,99537 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-01 9,5165 9,5115 62,99 62,99 599,444335 599,129385 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-02 9,4905 9,4855 63,3 63,3 600,74865 600,43215 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-05 9,4065 9,4015 63,35 63,35 595,901775 595,585025 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-06 9,4185 9,4135 63,45 63,45 597,603825 597,286575 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-07 9,4255 9,4205 63,57 63,57 599,179035 598,861185 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-08 9,3965 9,3915 63,26 63,26 594,42259 594,10629 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-12 9,4315 9,4265 63,76 63,76 601,35244 601,03364 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-13 9,4295 9,4245 64,04 64,04 603,86518 603,54498 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-14 9,4365 9,4315 63,72 63,72 601,29378 600,97518 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-15 9,4345 9,4295 63,75 63,75 601,449375 601,130625 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-16 9,4765 9,4715 64,16 64,16 608,01224 607,69144 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-19 9,4535 9,4485 63,98 63,98 604,83493 604,51503 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-20 9,4015 9,3965 63,98 63,98 601,50797 601,18807 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-21 9,4485 9,4435 64,4 64,4 608,4834 608,1614 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-22 9,4365 9,4315 64,49 64,49 608,559885 608,237435 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-23 9,4425 9,4375 64,47 64,47 608,757975 608,435625 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-27 9,4915 9,4865 64,64 64,64 613,53056 613,20736 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-28 9,4345 9,4295 64,59 64,59 609,374355 609,051405 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-29 9,4115 9,4065 64,73 64,73 609,206395 608,882745 732727 BlackRock (Channel Islands) Limited MLIIF European Fund EUR 2005-12-30 9,4325 9,4275 64,44 64,44 607,8303 607,5081 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-03 9,0065 9,0015 54,45 54,45 490,403925 490,131675 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-04 9,0345 9,0295 54,55 54,55 492,831975 492,559225 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-05 9,0615 9,0565 54,35 54,35 492,492525 492,220775 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-07 9,0615 9,0565 54,88 54,88 497,29512 497,02072 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-10 9,08619 9,08119 55,3 55,3 502,466307 502,189807 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-11 9,08619 9,08119 55,14 55,14 501,0125166 500,7368166 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-12 9,0455 9,0405 55,07 55,07 498,135685 497,860335 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-13 9,0505 9,0455 55,26 55,26 500,13063 499,85433 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-14 9,0455 9,0405 55,32 55,32 500,39706 500,12046 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-17 9,0685 9,0635 55,66 55,66 504,75271 504,47441 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-18 9,0585 9,0535 55,69 55,69 504,467865 504,189415 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-19 9,0225 9,0175 56 56 505,26 504,98 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-20 9,0315 9,0265 55,99 55,99 505,673685 505,393735 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-21 9,0505 9,0455 55,99 55,99 506,737495 506,457545 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-24 9,0655 9,0605 55,68 55,68 504,76704 504,48864 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-25 9,0715 9,0665 56,05 56,05 508,457575 508,177325 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-26 9,0885 9,0835 56,42 56,42 512,77317 512,49107 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-27 9,0675 9,0625 56,49 56,49 512,223075 511,940625 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-28 9,0955 9,0905 56,74 56,74 516,07867 515,79497 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-01-31 9,1075 9,1025 57,01 57,01 519,218575 518,933525 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-01 9,1035 9,0985 57,25 57,25 521,175375 520,889125 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-02 9,0905 9,0855 57,57 57,57 523,340085 523,052235 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-03 9,0695 9,0645 57,81 57,81 524,307795 524,018745 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-04 9,0895 9,0845 58,04 58,04 527,55458 527,26438 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-07 9,0755 9,0705 58,52 58,52 531,09826 530,80566 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-08 9,0895 9,0845 58,54 58,54 532,09933 531,80663 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-09 9,0695 9,0645 58,59 58,59 531,382005 531,089055 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-10 9,0805 9,0755 58,53 58,53 531,481665 531,189015 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-11 9,0935 9,0885 58,52 58,52 532,15162 531,85902 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-14 9,1105 9,1055 58,66 58,66 534,42193 534,12863 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-15 9,0765 9,0715 58,72 58,72 532,97208 532,67848 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-16 9,0705 9,0655 58,44 58,44 530,08002 529,78782 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-17 9,0925 9,0875 58,66 58,66 533,36605 533,07275 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-18 9,0945 9,0895 58,67 58,67 533,574315 533,280965 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-21 9,1185 9,1135 58,39 58,39 532,429215 532,137265 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-22 9,0975 9,0925 58 58 527,655 527,365 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-23 9,1045 9,0995 57,65 57,65 524,874425 524,586175 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-24 9,0715 9,0665 57,85 57,85 524,786275 524,497025 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-25 9,0845 9,0795 58,33 58,33 529,898885 529,607235 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-02-28 9,0505 9,0455 58,44 58,44 528,91122 528,61902 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-01 9,0565 9,0515 58,7 58,7 531,61655 531,32305 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-02 9,0645 9,0595 58,92 58,92 534,08034 533,78574 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-03 9,0675 9,0625 59,18 59,18 536,61465 536,31875 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-04 9,0415 9,0365 59,38 59,38 536,88427 536,58737 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-07 9,0425 9,0375 59,51 59,51 538,119175 537,821625 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-08 9,0345 9,0295 59,45 59,45 537,101025 536,803775 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-09 9,0365 9,0315 59,27 59,27 535,593355 535,297005 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-10 9,0655 9,0605 59,12 59,12 535,95236 535,65676 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-11 9,0795 9,0745 59,14 59,14 536,96163 536,66593 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-14 9,0695 9,0645 58,73 58,73 532,651735 532,358085 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-15 9,1035 9,0985 58,86 58,86 535,83201 535,53771 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-16 9,0975 9,0925 58,73 58,73 534,296175 534,002525 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-17 9,1045 9,0995 58,49 58,49 532,522205 532,229755 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-18 9,1035 9,0985 58,68 58,68 534,19338 533,89998 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-21 9,1265 9,1215 58,69 58,69 535,634285 535,340835 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-22 9,1265 9,1215 58,44 58,44 533,35266 533,06046 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-23 9,1165 9,1115 57,99 57,99 528,665835 528,375885 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-24 9,1135 9,1085 58,07 58,07 529,220945 528,930595 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-29 9,1315 9,1265 58,21 58,21 531,544615 531,253565 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-30 9,1425 9,1375 58,11 58,11 531,270675 530,980125 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-03-31 9,1405 9,1355 58,42 58,42 533,98801 533,69591 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-01 9,1645 9,1595 58,75 58,75 538,414375 538,120625 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-04 9,1695 9,1645 58,55 58,55 536,874225 536,581475 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-05 9,1745 9,1695 58,82 58,82 539,64409 539,34999 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-06 9,1705 9,1655 58,87 58,87 539,867335 539,572985 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-07 9,1505 9,1455 59,14 59,14 541,16057 540,86487 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-08 9,1625 9,1575 59,39 59,39 544,160875 543,863925 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-11 9,1705 9,1655 59,36 59,36 544,36088 544,06408 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-12 9,1525 9,1475 59,2 59,2 541,828 541,532 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-13 9,1495 9,1445 59,48 59,48 544,21226 543,91486 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-14 9,1685 9,1635 59,55 59,55 545,984175 545,686425 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-15 9,1925 9,1875 58,78 58,78 540,33515 540,04125 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-18 9,1805 9,1755 57,45 57,45 527,419725 527,132475 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-19 9,2035 9,1985 57,92 57,92 533,06672 532,77712 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-20 9,1915 9,1865 58,02 58,02 533,29083 533,00073 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-21 9,1855 9,1805 58,04 58,04 533,12642 532,83622 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-22 9,1625 9,1575 58,32 58,32 534,357 534,0654 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-25 9,1685 9,1635 58,37 58,37 535,165345 534,873495 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-26 9,1375 9,1325 58,13 58,13 531,162875 530,872225 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-27 9,1465 9,1415 57,27 57,27 523,820055 523,533705 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-28 9,1505 9,1455 56,84 56,84 520,11442 519,83022 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-04-29 9,1705 9,1655 56,76 56,76 520,51758 520,23378 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-02 9,1935 9,1885 57,06 57,06 524,58111 524,29581 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-03 9,2245 9,2195 56,92 56,92 525,05854 524,77394 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-04 9,1915 9,1865 56,82 56,82 522,26103 521,97693 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-06 9,1715 9,1665 57,1 57,1 523,69265 523,40715 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-09 9,1815 9,1765 57,18 57,18 524,99817 524,71227 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-10 9,1985 9,1935 57,02 57,02 524,49847 524,21337 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-11 9,2105 9,2055 56,89 56,89 523,985345 523,700895 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-12 9,2315 9,2265 57,12 57,12 527,30328 527,01768 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-13 9,2045 9,1995 57,03 57,03 524,932635 524,647485 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-17 9,2325 9,2275 57,21 57,21 528,191325 527,905275 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-18 9,2095 9,2045 57,38 57,38 528,44111 528,15421 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-19 9,1905 9,1855 57,68 57,68 530,10804 529,81964 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-20 9,1955 9,1905 57,76 57,76 531,13208 530,84328 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-23 9,1805 9,1755 57,89 57,89 531,459145 531,169695 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-24 9,1815 9,1765 58,04 58,04 532,89426 532,60406 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-25 9,1785 9,1735 58,16 58,16 533,82156 533,53076 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-26 9,1945 9,1895 58,74 58,74 540,08493 539,79123 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-27 9,1955 9,1905 58,76 58,76 540,32758 540,03378 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-30 9,1905 9,1855 58,92 58,92 541,50426 541,20966 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-05-31 9,1665 9,1615 59,21 59,21 542,748465 542,452415 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-01 9,1455 9,1405 59,5 59,5 544,15725 543,85975 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-02 9,1565 9,1515 59,93 59,93 548,749045 548,449395 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-03 9,1315 9,1265 60,17 60,17 549,442355 549,141505 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-07 9,1455 9,1405 60,7 60,7 555,13185 554,82835 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-08 9,1455 9,1405 60,95 60,95 557,418225 557,113475 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-09 9,1965 9,1915 61,05 61,05 561,446325 561,141075 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-10 9,1975 9,1925 61,31 61,31 563,898725 563,592175 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-13 9,2365 9,2315 61,54 61,54 568,41421 568,10651 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-14 9,2985 9,2935 61,57 61,57 572,508645 572,200795 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-15 9,2695 9,2645 61,79 61,79 572,762405 572,453455 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-16 9,2695 9,2645 61,99 61,99 574,616305 574,306355 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-17 9,2695 9,2645 62,28 62,28 577,30446 576,99306 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-20 9,2255 9,2205 62,01 62,01 572,073255 571,763205 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-21 9,2725 9,2675 62,69 62,69 581,293025 580,979575 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-22 9,2615 9,2565 62,22 62,22 576,25053 575,93943 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-27 9,3855 9,3805 61,87 61,87 580,680885 580,371535 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-28 9,3995 9,3945 62,28 62,28 585,40086 585,08946 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-29 9,4215 9,4165 62,56 62,56 589,40904 589,09624 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-06-30 9,4415 9,4365 62,52 62,52 590,28258 589,96998 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-01 9,4595 9,4545 62,55 62,55 591,691725 591,378975 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-04 9,4795 9,4745 62,93 62,93 596,544935 596,230285 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-05 9,4575 9,4525 62,93 62,93 595,160475 594,845825 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-06 9,4195 9,4145 63,33 63,33 596,536935 596,220285 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-07 9,3965 9,3915 62,6 62,6 588,2209 587,9079 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-08 9,4175 9,4125 62,89 62,89 592,266575 591,952125 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-11 9,4665 9,4615 63,82 63,82 604,15203 603,83293 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-12 9,4645 9,4595 63,83 63,83 604,119035 603,799885 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-13 9,3915 9,3865 64,15 64,15 602,464725 602,143975 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-14 9,3675 9,3625 64,49 64,49 604,110075 603,787625 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-15 9,4055 9,4005 64,45 64,45 606,184475 605,862225 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-18 9,3895 9,3845 64,34 64,34 604,12043 603,79873 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-19 9,4425 9,4375 64,69 64,69 610,835325 610,511875 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-20 9,4265 9,4215 64,41 64,41 607,160865 606,838815 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-21 9,4625 9,4575 64,43 64,43 609,668875 609,346725 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-22 9,4495 9,4445 64,49 64,49 609,398255 609,075805 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-25 9,4275 9,4225 64,63 64,63 609,299325 608,976175 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-26 9,4155 9,4105 64,92 64,92 611,25426 610,92966 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-27 9,4725 9,4675 65,55 65,55 620,922375 620,594625 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-28 9,4515 9,4465 65,8 65,8 621,9087 621,5797 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-07-29 9,3885 9,3835 65,95 65,95 619,171575 618,841825 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-01 9,3985 9,3935 66,16 66,16 621,80476 621,47396 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-02 9,3995 9,3945 66,57 66,57 625,724715 625,391865 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-03 9,3755 9,3705 66,68 66,68 625,15834 624,82494 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-04 9,3735 9,3685 66,42 66,42 622,58787 622,25577 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-05 9,3355 9,3305 66,33 66,33 619,223715 618,892065 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-08 9,3335 9,3285 66,52 66,52 620,86442 620,53182 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-09 9,3455 9,3405 66,6 66,6 622,4103 622,0773 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-10 9,3535 9,3485 67,02 67,02 626,87157 626,53647 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-11 9,3365 9,3315 67,14 67,14 626,85261 626,51691 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-12 9,3025 9,2975 67,12 67,12 624,3838 624,0482 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-16 9,2995 9,2945 67,29 67,29 625,763355 625,426905 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-17 9,3405 9,3355 66,87 66,87 624,599235 624,264885 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-18 9,3365 9,3315 66,77 66,77 623,398105 623,064255 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-19 9,3395 9,3345 67,07 67,07 626,400265 626,064915 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-22 9,3655 9,3605 67,23 67,23 629,642565 629,306415 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-23 9,3715 9,3665 67,25 67,25 630,233375 629,897125 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-24 9,3365 9,3315 67,02 67,02 625,73223 625,39713 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-25 9,3335 9,3285 66,81 66,81 623,571135 623,237085 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-26 9,3415 9,3365 66,97 66,97 625,600255 625,265405 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-29 9,3295 9,3245 66,66 66,66 621,90447 621,57117 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-30 9,3285 9,3235 67,13 67,13 626,222205 625,886555 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-08-31 9,3585 9,3535 67,34 67,34 630,20139 629,86469 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-01 9,3365 9,3315 67,76 67,76 632,64124 632,30244 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-02 9,3025 9,2975 67,73 67,73 630,058325 629,719675 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-05 9,2845 9,2795 68,03 68,03 631,624535 631,284385 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-06 9,3225 9,3175 68,12 68,12 635,0487 634,7081 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-07 9,3075 9,3025 68,35 68,35 636,167625 635,825875 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-08 9,3255 9,3205 68,28 68,28 636,74514 636,40374 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-09 9,3445 9,3395 68,65 68,65 641,499925 641,156675 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-12 9,3015 9,2965 68,85 68,85 640,408275 640,064025 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-13 9,3015 9,2965 68,36 68,36 635,85054 635,50874 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-14 9,3365 9,3315 68,3 68,3 637,68295 637,34145 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-15 9,3425 9,3375 68,34 68,34 638,46645 638,12475 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-16 9,3465 9,3415 68,56 68,56 640,79604 640,45324 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-19 9,3355 9,3305 68,83 68,83 642,562465 642,218315 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-20 9,3395 9,3345 68,82 68,82 642,74439 642,40029 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-21 9,3405 9,3355 68,44 68,44 639,26382 638,92162 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-22 9,3405 9,3355 68,19 68,19 636,928695 636,587745 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-23 9,3695 9,3645 68,21 68,21 639,093595 638,752545 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-26 9,3815 9,3765 68,42 68,42 641,88223 641,54013 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-27 9,3885 9,3835 68,29 68,29 641,140665 640,799215 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-28 9,3935 9,3885 68,38 68,38 642,32753 641,98563 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-29 9,3845 9,3795 68,64 68,64 644,15208 643,80888 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-09-30 9,3435 9,3385 68,89 68,89 643,673715 643,329265 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-03 9,3025 9,2975 69,32 69,32 644,8493 644,5027 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-04 9,3185 9,3135 69,3 69,3 645,77205 645,42555 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-05 9,3105 9,3055 69,21 69,21 644,379705 644,033655 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-06 9,3015 9,2965 68,06 68,06 633,06009 632,71979 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-07 9,3385 9,3335 67,77 67,77 632,870145 632,531295 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-10 9,3465 9,3415 67,75 67,75 633,225375 632,886625 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-11 9,3395 9,3345 67,89 67,89 634,058655 633,719205 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-12 9,3375 9,3325 67,79 67,79 632,989125 632,650175 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-13 9,3815 9,3765 66,72 66,72 625,93368 625,60008 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-14 9,4135 9,4085 66,69 66,69 627,786315 627,452865 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-17 9,4575 9,4525 66,53 66,53 629,207475 628,874825 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-18 9,4625 9,4575 66,16 66,16 626,039 625,7082 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-19 9,4605 9,4555 64,54 64,54 610,58067 610,25797 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-20 9,4935 9,4885 65,13 65,13 618,311655 617,986005 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-21 9,4915 9,4865 64,61 64,61 613,245815 612,922765 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-24 9,5455 9,5405 65,05 65,05 620,934775 620,609525 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-25 9,5465 9,5415 65,31 65,31 623,481915 623,155365 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-26 9,4975 9,4925 65,33 65,33 620,471675 620,145025 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-27 9,5355 9,5305 64,7 64,7 616,94685 616,62335 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-28 9,5135 9,5085 64,38 64,38 612,47913 612,15723 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-10-31 9,5495 9,5445 65,22 65,22 622,81839 622,49229 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-02 9,5855 9,5805 65,37 65,37 626,604135 626,277285 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-03 9,6515 9,6465 65,7 65,7 634,10355 633,77505 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-04 9,5875 9,5825 66,06 66,06 633,35025 633,01995 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-07 9,6075 9,6025 66,34 66,34 637,36155 637,02985 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-08 9,5685 9,5635 66,37 66,37 635,061345 634,729495 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-09 9,5575 9,5525 66,43 66,43 634,904725 634,572575 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-10 9,6105 9,6055 66,65 66,65 640,539825 640,206575 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-11 9,6365 9,6315 66,94 66,94 645,06731 644,73261 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-14 9,5505 9,5455 66,86 66,86 638,54643 638,21213 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-15 9,5805 9,5755 66,68 66,68 638,82774 638,49434 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-16 9,6235 9,6185 66,39 66,39 638,904165 638,572215 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-17 9,6355 9,6305 66,58 66,58 641,53159 641,19869 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-18 9,6085 9,6035 66,67 66,67 640,598695 640,265345 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-21 9,5915 9,5865 66,56 66,56 638,41024 638,07744 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-22 9,5585 9,5535 67 67 640,4195 640,0845 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-23 9,5155 9,5105 67,23 67,23 639,727065 639,390915 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-24 9,5125 9,5075 67,29 67,29 640,096125 639,759675 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-25 9,4965 9,4915 67,59 67,59 641,868435 641,530485 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-28 9,4835 9,4785 67,48 67,48 639,94658 639,60918 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-29 9,4785 9,4735 67,17 67,17 636,670845 636,334995 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-11-30 9,5295 9,5245 67,23 67,23 640,668285 640,332135 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-01 9,5165 9,5115 67,47 67,47 642,078255 641,740905 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-02 9,4905 9,4855 67,88 67,88 644,21514 643,87574 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-05 9,4065 9,4015 68,07 68,07 640,300455 639,960105 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-06 9,4185 9,4135 68,11 68,11 641,494035 641,153485 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-07 9,4255 9,4205 68,46 68,46 645,26973 644,92743 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-08 9,3965 9,3915 68,55 68,55 644,130075 643,787325 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-12 9,4315 9,4265 68,81 68,81 648,981515 648,637465 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-13 9,4295 9,4245 68,74 68,74 648,18383 647,84013 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-14 9,4365 9,4315 68,67 68,67 648,004455 647,661105 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-15 9,4345 9,4295 68,81 68,81 649,187945 648,843895 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-16 9,4765 9,4715 68,98 68,98 653,68897 653,34407 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-19 9,4535 9,4485 68,77 68,77 650,117195 649,773345 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-20 9,4015 9,3965 68,9 68,9 647,76335 647,41885 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-21 9,4485 9,4435 69,09 69,09 652,796865 652,451415 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-22 9,4365 9,4315 69,23 69,23 653,288895 652,942745 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-23 9,4425 9,4375 69,24 69,24 653,7987 653,4525 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-27 9,4915 9,4865 69,41 69,41 658,805015 658,457965 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-28 9,4345 9,4295 69,34 69,34 654,18823 653,84153 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-29 9,4115 9,4065 69,51 69,51 654,193365 653,845815 951954 BlackRock (Channel Islands) Limited MLIIF European Opportunities Fund EUR 2005-12-30 9,4325 9,4275 69,56 69,56 656,1247 655,7769 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-03 9,0065 9,0015 30,73 30,73 276,769745 276,616095 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-04 9,0345 9,0295 30,86 30,86 278,80467 278,65037 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-05 9,0615 9,0565 30,71 30,71 278,278665 278,125115 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-07 9,0615 9,0565 30,91 30,91 280,090965 279,936415 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-10 9,08619 9,08119 31 31 281,67189 281,51689 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-11 9,08619 9,08119 30,75 30,75 279,4003425 279,2465925 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-12 9,0455 9,0405 30,59 30,59 276,701845 276,548895 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-13 9,0505 9,0455 30,62 30,62 277,12631 276,97321 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-14 9,0455 9,0405 30,8 30,8 278,6014 278,4474 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-17 9,0685 9,0635 30,94 30,94 280,57939 280,42469 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-18 9,0585 9,0535 30,83 30,83 279,273555 279,119405 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-19 9,0225 9,0175 31,05 31,05 280,148625 279,993375 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-20 9,0315 9,0265 30,83 30,83 278,441145 278,286995 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-21 9,0505 9,0455 30,95 30,95 280,112975 279,958225 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-24 9,0655 9,0605 30,87 30,87 279,851985 279,697635 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-25 9,0715 9,0665 31,14 31,14 282,48651 282,33081 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-26 9,0885 9,0835 31,21 31,21 283,652085 283,496035 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-27 9,0675 9,0625 31,14 31,14 282,36195 282,20625 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-28 9,0955 9,0905 31,23 31,23 284,052465 283,896315 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-01-31 9,1075 9,1025 31,39 31,39 285,884425 285,727475 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-01 9,1035 9,0985 31,53 31,53 287,033355 286,875705 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-02 9,0905 9,0855 31,71 31,71 288,259755 288,101205 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-03 9,0695 9,0645 31,74 31,74 287,86593 287,70723 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-04 9,0895 9,0845 32 32 290,864 290,704 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-07 9,0755 9,0705 32,33 32,33 293,410915 293,249265 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-08 9,0895 9,0845 32,29 32,29 293,499955 293,338505 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-09 9,0695 9,0645 32,4 32,4 293,8518 293,6898 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-10 9,0805 9,0755 32,39 32,39 294,117395 293,955445 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-11 9,0935 9,0885 32,54 32,54 295,90249 295,73979 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-14 9,1105 9,1055 32,63 32,63 297,275615 297,112465 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-15 9,0765 9,0715 32,71 32,71 296,892315 296,728765 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-16 9,0705 9,0655 32,54 32,54 295,15407 294,99137 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-17 9,0925 9,0875 32,69 32,69 297,233825 297,070375 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-18 9,0945 9,0895 32,66 32,66 297,02637 296,86307 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-21 9,1185 9,1135 32,53 32,53 296,624805 296,462155 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-22 9,0975 9,0925 32,2 32,2 292,9395 292,7785 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-23 9,1045 9,0995 32,08 32,08 292,07236 291,91196 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-24 9,0715 9,0665 32,12 32,12 291,37658 291,21598 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-25 9,0845 9,0795 32,38 32,38 294,15611 293,99421 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-02-28 9,0505 9,0455 32,54 32,54 294,50327 294,34057 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-01 9,0565 9,0515 32,66 32,66 295,78529 295,62199 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-02 9,0645 9,0595 32,59 32,59 295,412055 295,249105 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-03 9,0675 9,0625 32,75 32,75 296,960625 296,796875 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-04 9,0415 9,0365 32,86 32,86 297,10369 296,93939 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-07 9,0425 9,0375 32,84 32,84 296,9557 296,7915 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-08 9,0345 9,0295 32,73 32,73 295,699185 295,535535 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-09 9,0365 9,0315 32,58 32,58 294,40917 294,24627 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-10 9,0655 9,0605 32,38 32,38 293,54089 293,37899 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-11 9,0795 9,0745 32,38 32,38 293,99421 293,83231 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-14 9,0695 9,0645 32,26 32,26 292,58207 292,42077 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-15 9,1035 9,0985 32,53 32,53 296,136855 295,974205 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-16 9,0975 9,0925 32,2 32,2 292,9395 292,7785 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-17 9,1045 9,0995 32,15 32,15 292,709675 292,548925 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-18 9,1035 9,0985 32,25 32,25 293,587875 293,426625 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-21 9,1265 9,1215 32,34 32,34 295,15101 294,98931 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-22 9,1265 9,1215 32,22 32,22 294,05583 293,89473 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-23 9,1165 9,1115 32,06 32,06 292,27499 292,11469 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-24 9,1135 9,1085 32,32 32,32 294,54832 294,38672 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-29 9,1315 9,1265 32,3 32,3 294,94745 294,78595 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-30 9,1425 9,1375 32,19 32,19 294,297075 294,136125 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-03-31 9,1405 9,1355 32,38 32,38 295,96939 295,80749 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-01 9,1645 9,1595 32,63 32,63 299,037635 298,874485 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-04 9,1695 9,1645 32,39 32,39 297,000105 296,838155 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-05 9,1745 9,1695 32,69 32,69 299,914405 299,750955 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-06 9,1705 9,1655 32,77 32,77 300,517285 300,353435 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-07 9,1505 9,1455 32,86 32,86 300,68543 300,52113 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-08 9,1625 9,1575 33,04 33,04 302,729 302,5638 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-11 9,1705 9,1655 32,94 32,94 302,07627 301,91157 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-12 9,1525 9,1475 32,85 32,85 300,659625 300,495375 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-13 9,1495 9,1445 32,98 32,98 301,75051 301,58561 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-14 9,1685 9,1635 32,99 32,99 302,468815 302,303865 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-15 9,1925 9,1875 32,53 32,53 299,032025 298,869375 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-18 9,1805 9,1755 31,83 31,83 292,215315 292,056165 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-19 9,2035 9,1985 32 32 294,512 294,352 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-20 9,1915 9,1865 31,77 31,77 292,013955 291,855105 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-21 9,1855 9,1805 31,83 31,83 292,374465 292,215315 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-22 9,1625 9,1575 31,93 31,93 292,558625 292,398975 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-25 9,1685 9,1635 32,08 32,08 294,12548 293,96508 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-26 9,1375 9,1325 31,82 31,82 290,75525 290,59615 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-27 9,1465 9,1415 31,39 31,39 287,108635 286,951685 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-28 9,1505 9,1455 31,33 31,33 286,685165 286,528515 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-04-29 9,1705 9,1655 31,55 31,55 289,329275 289,171525 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-02 9,1935 9,1885 31,68 31,68 291,25008 291,09168 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-03 9,2245 9,2195 31,74 31,74 292,78563 292,62693 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-04 9,1915 9,1865 31,75 31,75 291,830125 291,671375 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-06 9,1715 9,1665 32,13 32,13 294,680295 294,519645 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-09 9,1815 9,1765 32,12 32,12 294,90978 294,74918 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-10 9,1985 9,1935 31,93 31,93 293,708105 293,548455 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-11 9,2105 9,2055 31,93 31,93 294,091265 293,931615 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-12 9,2315 9,2265 32,03 32,03 295,684945 295,524795 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-13 9,2045 9,1995 32,01 32,01 294,636045 294,475995 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-17 9,2325 9,2275 31,99 31,99 295,347675 295,187725 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-18 9,2095 9,2045 32,25 32,25 297,006375 296,845125 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-19 9,1905 9,1855 32,47 32,47 298,415535 298,253185 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-20 9,1955 9,1905 32,52 32,52 299,03766 298,87506 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-23 9,1805 9,1755 32,65 32,65 299,743325 299,580075 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-24 9,1815 9,1765 32,61 32,61 299,408715 299,245665 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-25 9,1785 9,1735 32,66 32,66 299,76981 299,60651 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-26 9,1945 9,1895 32,63 32,63 300,016535 299,853385 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-27 9,1955 9,1905 32,68 32,68 300,50894 300,34554 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-30 9,1905 9,1855 32,81 32,81 301,540305 301,376255 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-05-31 9,1665 9,1615 32,82 32,82 300,84453 300,68043 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-01 9,1455 9,1405 33,03 33,03 302,075865 301,910715 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-02 9,1565 9,1515 33,22 33,22 304,17893 304,01283 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-03 9,1315 9,1265 33,19 33,19 303,074485 302,908535 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-07 9,1455 9,1405 33,39 33,39 305,368245 305,201295 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-08 9,1455 9,1405 33,44 33,44 305,82552 305,65832 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-09 9,1965 9,1915 33,39 33,39 307,071135 306,904185 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-10 9,1975 9,1925 33,71 33,71 310,047725 309,879175 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-13 9,2365 9,2315 33,67 33,67 310,992955 310,824605 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-14 9,2985 9,2935 33,85 33,85 314,754225 314,584975 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-15 9,2695 9,2645 33,95 33,95 314,699525 314,529775 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-16 9,2695 9,2645 33,89 33,89 314,143355 313,973905 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-17 9,2695 9,2645 34,18 34,18 316,83151 316,66061 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-20 9,2255 9,2205 33,91 33,91 312,836705 312,667155 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-21 9,2725 9,2675 34,07 34,07 315,914075 315,743725 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-22 9,2615 9,2565 34,26 34,26 317,29899 317,12769 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-27 9,3855 9,3805 33,83 33,83 317,511465 317,342315 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-28 9,3995 9,3945 34,05 34,05 320,052975 319,882725 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-29 9,4215 9,4165 34,25 34,25 322,686375 322,515125 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-06-30 9,4415 9,4365 34,34 34,34 324,22111 324,04941 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-01 9,4595 9,4545 34,33 34,33 324,744635 324,572985 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-04 9,4795 9,4745 34,55 34,55 327,516725 327,343975 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-05 9,4575 9,4525 34,44 34,44 325,7163 325,5441 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-06 9,4195 9,4145 34,76 34,76 327,42182 327,24802 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-07 9,3965 9,3915 34,08 34,08 320,23272 320,06232 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-08 9,4175 9,4125 34,6 34,6 325,8455 325,6725 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-11 9,4665 9,4615 34,9 34,9 330,38085 330,20635 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-12 9,4645 9,4595 34,87 34,87 330,027115 329,852765 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-13 9,3915 9,3865 35,02 35,02 328,89033 328,71523 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-14 9,3675 9,3625 35,16 35,16 329,3613 329,1855 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-15 9,4055 9,4005 35,01 35,01 329,286555 329,111505 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-18 9,3895 9,3845 34,93 34,93 327,975235 327,800585 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-19 9,4425 9,4375 35,01 35,01 330,581925 330,406875 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-20 9,4265 9,4215 34,96 34,96 329,55044 329,37564 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-21 9,4625 9,4575 35,09 35,09 332,039125 331,863675 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-22 9,4495 9,4445 35,11 35,11 331,771945 331,596395 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-25 9,4275 9,4225 35,26 35,26 332,41365 332,23735 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-26 9,4155 9,4105 35,35 35,35 332,837925 332,661175 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-27 9,4725 9,4675 35,49 35,49 336,179025 336,001575 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-28 9,4515 9,4465 35,59 35,59 336,378885 336,200935 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-07-29 9,3885 9,3835 35,62 35,62 334,41837 334,24027 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-01 9,3985 9,3935 35,59 35,59 334,492615 334,314665 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-02 9,3995 9,3945 35,7 35,7 335,56215 335,38365 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-03 9,3755 9,3705 35,7 35,7 334,70535 334,52685 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-04 9,3735 9,3685 35,41 35,41 331,915635 331,738585 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-05 9,3355 9,3305 35,47 35,47 331,130185 330,952835 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-08 9,3335 9,3285 35,65 35,65 332,739275 332,561025 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-09 9,3455 9,3405 35,77 35,77 334,288535 334,109685 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-10 9,3535 9,3485 36,08 36,08 337,47428 337,29388 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-11 9,3365 9,3315 36,04 36,04 336,48746 336,30726 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-12 9,3025 9,2975 36,05 36,05 335,355125 335,174875 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-16 9,2995 9,2945 36,03 36,03 335,060985 334,880835 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-17 9,3405 9,3355 35,71 35,71 333,549255 333,370705 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-18 9,3365 9,3315 35,66 35,66 332,93959 332,76129 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-19 9,3395 9,3345 35,85 35,85 334,821075 334,641825 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-22 9,3655 9,3605 36,1 36,1 338,09455 337,91405 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-23 9,3715 9,3665 35,89 35,89 336,343135 336,163685 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-24 9,3365 9,3315 35,72 35,72 333,49978 333,32118 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-25 9,3335 9,3285 35,58 35,58 332,08593 331,90803 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-26 9,3415 9,3365 35,46 35,46 331,24959 331,07229 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-29 9,3295 9,3245 35,38 35,38 330,07771 329,90081 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-30 9,3285 9,3235 35,52 35,52 331,34832 331,17072 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-08-31 9,3585 9,3535 35,74 35,74 334,47279 334,29409 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-01 9,3365 9,3315 36,12 36,12 337,23438 337,05378 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-02 9,3025 9,2975 36,02 36,02 335,07605 334,89595 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-05 9,2845 9,2795 36,17 36,17 335,820365 335,639515 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-06 9,3225 9,3175 36,35 36,35 338,872875 338,691125 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-07 9,3075 9,3025 36,56 36,56 340,2822 340,0994 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-08 9,3255 9,3205 36,5 36,5 340,38075 340,19825 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-09 9,3445 9,3395 36,59 36,59 341,915255 341,732305 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-12 9,3015 9,2965 36,72 36,72 341,55108 341,36748 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-13 9,3015 9,2965 36,41 36,41 338,667615 338,485565 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-14 9,3365 9,3315 36,37 36,37 339,568505 339,386655 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-15 9,3425 9,3375 36,42 36,42 340,25385 340,07175 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-16 9,3465 9,3415 36,6 36,6 342,0819 341,8989 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-19 9,3355 9,3305 36,71 36,71 342,706205 342,522655 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-20 9,3395 9,3345 36,74 36,74 343,13323 342,94953 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-21 9,3405 9,3355 36,46 36,46 340,55463 340,37233 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-22 9,3405 9,3355 36,28 36,28 338,87334 338,69194 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-23 9,3695 9,3645 36,28 36,28 339,92546 339,74406 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-26 9,3815 9,3765 36,57 36,57 343,081455 342,898605 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-27 9,3885 9,3835 36,72 36,72 344,74572 344,56212 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-28 9,3935 9,3885 36,93 36,93 346,901955 346,717305 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-29 9,3845 9,3795 36,85 36,85 345,818825 345,634575 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-09-30 9,3435 9,3385 36,89 36,89 344,681715 344,497265 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-03 9,3025 9,2975 37,1 37,1 345,12275 344,93725 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-04 9,3185 9,3135 37,04 37,04 345,15724 344,97204 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-05 9,3105 9,3055 36,84 36,84 342,99882 342,81462 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-06 9,3015 9,2965 36,07 36,07 335,505105 335,324755 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-07 9,3385 9,3335 36 36 336,186 336,006 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-10 9,3465 9,3415 36 36 336,474 336,294 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-11 9,3395 9,3345 36,2 36,2 338,0899 337,9089 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-12 9,3375 9,3325 36,05 36,05 336,616875 336,436625 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-13 9,3815 9,3765 35,4 35,4 332,1051 331,9281 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-14 9,4135 9,4085 35,39 35,39 333,143765 332,966815 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-17 9,4575 9,4525 35,51 35,51 335,835825 335,658275 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-18 9,4625 9,4575 35,21 35,21 333,174625 332,998575 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-19 9,4605 9,4555 34,59 34,59 327,238695 327,065745 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-20 9,4935 9,4885 34,92 34,92 331,51302 331,33842 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-21 9,4915 9,4865 34,55 34,55 327,931325 327,758575 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-24 9,5455 9,5405 34,98 34,98 333,90159 333,72669 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-25 9,5465 9,5415 35,16 35,16 335,65494 335,47914 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-26 9,4975 9,4925 35,09 35,09 333,267275 333,091825 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-27 9,5355 9,5305 34,86 34,86 332,40753 332,23323 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-28 9,5135 9,5085 34,73 34,73 330,403855 330,230205 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-10-31 9,5495 9,5445 35,53 35,53 339,293735 339,116085 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-02 9,5855 9,5805 35,7 35,7 342,20235 342,02385 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-03 9,6515 9,6465 36,48 36,48 352,08672 351,90432 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-04 9,5875 9,5825 36,52 36,52 350,1355 349,9529 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-07 9,6075 9,6025 36,71 36,71 352,691325 352,507775 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-08 9,5685 9,5635 36,43 36,43 348,580455 348,398305 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-09 9,5575 9,5525 36,52 36,52 349,0399 348,8573 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-10 9,6105 9,6055 36,7 36,7 352,70535 352,52185 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-11 9,6365 9,6315 36,81 36,81 354,719565 354,535515 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-14 9,5505 9,5455 37 37 353,3685 353,1835 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-15 9,5805 9,5755 36,81 36,81 352,658205 352,474155 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-16 9,6235 9,6185 36,66 36,66 352,79751 352,61421 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-17 9,6355 9,6305 36,78 36,78 354,39369 354,20979 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-18 9,6085 9,6035 36,89 36,89 354,457565 354,273115 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-21 9,5915 9,5865 36,92 36,92 354,11818 353,93358 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-22 9,5585 9,5535 37,12 37,12 354,81152 354,62592 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-23 9,5155 9,5105 37,29 37,29 354,832995 354,646545 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-24 9,5125 9,5075 37,2 37,2 353,865 353,679 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-25 9,4965 9,4915 37,41 37,41 355,264065 355,077015 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-28 9,4835 9,4785 37,33 37,33 354,019055 353,832405 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-29 9,4785 9,4735 37,16 37,16 352,22106 352,03526 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-11-30 9,5295 9,5245 37,03 37,03 352,877385 352,692235 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-01 9,5165 9,5115 37,38 37,38 355,72677 355,53987 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-02 9,4905 9,4855 37,63 37,63 357,127515 356,939365 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-05 9,4065 9,4015 37,77 37,77 355,283505 355,094655 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-06 9,4185 9,4135 37,82 37,82 356,20767 356,01857 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-07 9,4255 9,4205 38,04 38,04 358,54602 358,35582 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-08 9,3965 9,3915 37,73 37,73 354,529945 354,341295 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-12 9,4315 9,4265 37,89 37,89 357,359535 357,170085 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-13 9,4295 9,4245 37,9 37,9 357,37805 357,18855 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-14 9,4365 9,4315 37,96 37,96 358,20954 358,01974 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-15 9,4345 9,4295 37,85 37,85 357,095825 356,906575 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-16 9,4765 9,4715 38,13 38,13 361,338945 361,148295 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-19 9,4535 9,4485 37,99 37,99 359,138465 358,948515 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-20 9,4015 9,3965 38,11 38,11 358,291165 358,100615 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-21 9,4485 9,4435 38,49 38,49 363,672765 363,480315 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-22 9,4365 9,4315 38,51 38,51 363,399615 363,207065 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-23 9,4425 9,4375 38,52 38,52 363,7251 363,5325 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-27 9,4915 9,4865 38,63 38,63 366,656645 366,463495 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-28 9,4345 9,4295 38,59 38,59 364,077355 363,884405 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-29 9,4115 9,4065 38,62 38,62 363,47213 363,27903 696898 BlackRock (Channel Islands) Limited MLIIF European Value Fund EUR 2005-12-30 9,4325 9,4275 38,4 38,4 362,208 362,016 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-03 6,668 6,658 28,69 28,69 191,30492 191,01802 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-04 6,728 6,718 28,55 28,55 192,0844 191,7989 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-05 6,828 6,818 28,28 28,28 193,09584 192,81304 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-07 6,87 6,86 28,27 28,27 194,2149 193,9322 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-10 6,96091 6,95091 28,22 28,22 196,4368802 196,1546802 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-11 6,96091 6,95091 28,23 28,23 196,5064893 196,2241893 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-12 6,913 6,903 28,16 28,16 194,67008 194,38848 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-13 6,843 6,833 28,28 28,28 193,52004 193,23724 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-14 6,915 6,905 28,2 28,2 195,003 194,721 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-17 6,915 6,905 28,28 28,28 195,5562 195,2734 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-18 6,968 6,958 28,21 28,21 196,56728 196,28518 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-19 6,91 6,9 28,34 28,34 195,8294 195,546 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-20 6,96 6,95 28,05 28,05 195,228 194,9475 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-21 6,978 6,968 28,09 28,09 196,01202 195,73112 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-24 6,933 6,923 28,15 28,15 195,16395 194,88245 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-25 6,95 6,94 28,14 28,14 195,573 195,2916 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-26 6,995 6,985 28,15 28,15 196,90925 196,62775 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-27 6,93 6,92 28,19 28,19 195,3567 195,0748 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-28 6,985 6,975 28,2 28,2 196,977 196,695 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-01-31 6,998 6,988 28,27 28,27 197,83346 197,55076 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-01 6,993 6,983 28,33 28,33 198,11169 197,82839 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-02 6,953 6,943 28,42 28,42 197,60426 197,32006 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-03 6,968 6,958 28,43 28,43 198,10024 197,81594 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-04 7,01 7 28,44 28,44 199,3644 199,08 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-07 7,065 7,055 28,52 28,52 201,4938 201,2086 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-08 7,123 7,113 28,41 28,41 202,36443 202,08033 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-09 7,1 7,09 28,44 28,44 201,924 201,6396 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-10 7,088 7,078 28,4 28,4 201,2992 201,0152 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-11 7,068 7,058 28,48 28,48 201,29664 201,01184 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-14 7,03 7,02 28,71 28,71 201,8313 201,5442 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-15 7,005 6,995 28,75 28,75 201,39375 201,10625 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-16 6,973 6,963 28,75 28,75 200,47375 200,18625 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-17 6,97 6,96 28,82 28,82 200,8754 200,5872 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-18 6,965 6,955 28,79 28,79 200,52235 200,23445 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-21 6,978 6,968 28,82 28,82 201,10596 200,81776 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-22 6,905 6,895 28,9 28,9 199,5545 199,2655 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-23 6,895 6,885 28,8 28,8 198,576 198,288 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-24 6,858 6,848 28,86 28,86 197,92188 197,63328 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-25 6,885 6,875 28,93 28,93 199,18305 198,89375 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-02-28 6,828 6,818 29,16 29,16 199,10448 198,81288 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-01 6,87 6,86 29,1 29,1 199,917 199,626 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-02 6,888 6,878 29 29 199,752 199,462 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-03 6,903 6,893 29,13 29,13 201,08439 200,79309 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-04 6,9 6,89 29,16 29,16 201,204 200,9124 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-07 6,84 6,83 29,29 29,29 200,3436 200,0507 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-08 6,825 6,815 29,31 29,31 200,04075 199,74765 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-09 6,76 6,75 29,35 29,35 198,406 198,1125 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-10 6,745 6,735 29,26 29,26 197,3587 197,0661 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-11 6,765 6,755 29,29 29,29 198,14685 197,85395 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-14 6,76 6,75 29,17 29,17 197,1892 196,8975 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-15 6,815 6,805 29,22 29,22 199,1343 198,8421 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-16 6,81 6,8 29,09 29,09 198,1029 197,812 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-17 6,795 6,785 29,04 29,04 197,3268 197,0364 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-18 6,828 6,818 29,08 29,08 198,55824 198,26744 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-21 6,908 6,898 29 29 200,332 200,042 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-22 6,928 6,918 28,97 28,97 200,70416 200,41446 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-23 6,973 6,963 28,65 28,65 199,77645 199,48995 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-24 7,008 6,998 28,63 28,63 200,63904 200,35274 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-29 7,055 7,045 28,51 28,51 201,13805 200,85295 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-30 7,053 7,043 28,43 28,43 200,51679 200,23249 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-03-31 7,065 7,055 28,64 28,64 202,3416 202,0552 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-01 7,07 7,06 28,74 28,74 203,1918 202,9044 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-04 7,113 7,103 28,53 28,53 202,93389 202,64859 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-05 7,163 7,153 28,58 28,58 204,71854 204,43274 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-06 7,125 7,115 28,65 28,65 204,13125 203,84475 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-07 7,083 7,073 28,69 28,69 203,21127 202,92437 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-08 7,153 7,143 28,7 28,7 205,2911 205,0041 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-11 7,098 7,088 28,67 28,67 203,49966 203,21296 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-12 7,048 7,038 28,65 28,65 201,9252 201,6387 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-13 7,075 7,065 28,69 28,69 202,98175 202,69485 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-14 7,12 7,11 28,53 28,53 203,1336 202,8483 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-15 7,17 7,16 28,3 28,3 202,911 202,628 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-18 7,08 7,07 28,08 28,08 198,8064 198,5256 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-19 7,068 7,058 28,24 28,24 199,60032 199,31792 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-20 7,043 7,033 28,26 28,26 199,03518 198,75258 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-21 7,025 7,015 28,29 28,29 198,73725 198,45435 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-22 7,023 7,013 28,38 28,38 199,31274 199,02894 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-25 7,04 7,03 28,37 28,37 199,7248 199,4411 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-26 7,035 7,025 28,36 28,36 199,5126 199,229 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-27 7,085 7,075 28,16 28,16 199,5136 199,232 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-28 7,085 7,075 28,15 28,15 199,44275 199,16125 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-04-29 7,08 7,07 28,17 28,17 199,4436 199,1619 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-02 7,15 7,14 28,23 28,23 201,8445 201,5622 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-03 7,178 7,168 28,25 28,25 202,7785 202,496 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-04 7,11 7,1 28,35 28,35 201,5685 201,285 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-06 7,085 7,075 28,57 28,57 202,41845 202,13275 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-09 7,168 7,158 28,47 28,47 204,07296 203,78826 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-10 7,178 7,168 28,45 28,45 204,2141 203,9296 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-11 7,15 7,14 28,4 28,4 203,06 202,776 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-12 7,243 7,233 28,32 28,32 205,12176 204,83856 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-13 7,265 7,255 28,09 28,09 204,07385 203,79295 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-17 7,313 7,303 28,03 28,03 204,98339 204,70309 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-18 7,3 7,29 28,13 28,13 205,349 205,0677 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-19 7,26 7,25 28,3 28,3 205,458 205,175 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-20 7,28 7,27 28,31 28,31 206,0968 205,8137 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-23 7,32 7,31 28,32 28,32 207,3024 207,0192 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-24 7,295 7,285 28,4 28,4 207,178 206,894 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-25 7,298 7,288 28,33 28,33 206,75234 206,46904 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-26 7,33 7,32 28,36 28,36 207,8788 207,5952 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-27 7,338 7,328 28,45 28,45 208,7661 208,4816 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-30 7,338 7,328 28,5 28,5 209,133 208,848 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-05-31 7,403 7,393 28,39 28,39 210,17117 209,88727 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-01 7,428 7,418 28,39 28,39 210,88092 210,59702 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-02 7,473 7,463 28,49 28,49 212,90577 212,62087 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-03 7,438 7,428 28,57 28,57 212,50366 212,21796 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-07 7,448 7,438 28,61 28,61 213,08728 212,80118 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-08 7,435 7,425 28,62 28,62 212,7897 212,5035 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-09 7,523 7,513 28,5 28,5 214,4055 214,1205 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-10 7,525 7,515 28,61 28,61 215,29025 215,00415 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-13 7,643 7,633 28,47 28,47 217,59621 217,31151 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-14 7,663 7,653 28,59 28,59 219,08517 218,79927 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-15 7,693 7,683 28,61 28,61 220,09673 219,81063 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-16 7,678 7,668 28,74 28,74 220,66572 220,37832 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-17 7,643 7,633 28,91 28,91 220,95913 220,67003 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-20 7,543 7,533 28,91 28,91 218,06813 217,77903 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-21 7,648 7,638 28,85 28,85 220,6448 220,3563 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-22 7,608 7,598 28,94 28,94 220,17552 219,88612 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-27 7,73 7,72 28,72 28,72 222,0056 221,7184 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-28 7,76 7,75 28,75 28,75 223,1 222,8125 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-29 7,833 7,823 28,79 28,79 225,51207 225,22417 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-06-30 7,823 7,813 28,8 28,8 225,3024 225,0144 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-01 7,858 7,848 28,78 28,78 226,15324 225,86544 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-04 7,945 7,935 28,73 28,73 228,25985 227,97255 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-05 7,963 7,953 28,67 28,67 228,29921 228,01251 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-06 7,895 7,885 28,8 28,8 227,376 227,088 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-07 7,878 7,868 28,63 28,63 225,54714 225,26084 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-08 7,913 7,903 28,7 28,7 227,1031 226,8161 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-11 7,89 7,88 28,93 28,93 228,2577 227,9684 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-12 7,77 7,76 29,07 29,07 225,8739 225,5832 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-13 7,703 7,693 29,1 29,1 224,1573 223,8663 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-14 7,76 7,75 29,1 29,1 225,816 225,525 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-15 7,76 7,75 29,03 29,03 225,2728 224,9825 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-18 7,78 7,77 28,99 28,99 225,5422 225,2523 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-19 7,878 7,868 28,96 28,96 228,14688 227,85728 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-20 7,818 7,808 29,04 29,04 227,03472 226,74432 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-21 7,775 7,765 29,14 29,14 226,5635 226,2721 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-22 7,758 7,748 29,19 29,19 226,45602 226,16412 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-25 7,838 7,828 29,19 29,19 228,79122 228,49932 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-26 7,818 7,808 29,13 29,13 227,73834 227,44704 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-27 7,905 7,895 29,14 29,14 230,3517 230,0603 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-28 7,848 7,838 29,25 29,25 229,554 229,2615 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-07-29 7,748 7,738 29,37 29,37 227,55876 227,26506 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-01 7,72 7,71 29,44 29,44 227,2768 226,9824 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-02 7,7 7,69 29,51 29,51 227,227 226,9319 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-03 7,685 7,675 29,59 29,59 227,39915 227,10325 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-04 7,618 7,608 29,55 29,55 225,1119 224,8164 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-05 7,548 7,538 29,46 29,46 222,36408 222,06948 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-08 7,558 7,548 29,49 29,49 222,88542 222,59052 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-09 7,548 7,538 29,51 29,51 222,74148 222,44638 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-10 7,558 7,548 29,74 29,74 224,77492 224,47752 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-11 7,523 7,513 29,83 29,83 224,41109 224,11279 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-12 7,46 7,45 29,88 29,88 222,9048 222,606 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-16 7,523 7,513 29,77 29,77 223,95971 223,66201 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-17 7,605 7,595 29,63 29,63 225,33615 225,03985 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-18 7,61 7,6 29,52 29,52 224,6472 224,352 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-19 7,698 7,688 29,55 29,55 227,4759 227,1804 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-22 7,69 7,68 29,75 29,75 228,7775 228,48 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-23 7,663 7,653 29,65 29,65 227,20795 226,91145 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-24 7,673 7,663 29,56 29,56 226,81388 226,51828 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-25 7,588 7,578 29,56 29,56 224,30128 224,00568 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-26 7,578 7,568 29,57 29,57 224,08146 223,78576 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-29 7,573 7,563 29,41 29,41 222,72193 222,42783 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-30 7,633 7,623 29,47 29,47 224,94451 224,64981 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-08-31 7,668 7,658 29,52 29,52 226,35936 226,06416 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-01 7,568 7,558 29,89 29,89 226,20752 225,90862 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-02 7,435 7,425 30 30 223,05 222,75 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-05 7,41 7,4 30 30 222,3 222 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-06 7,485 7,475 29,99 29,99 224,47515 224,17525 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-07 7,43 7,42 30,04 30,04 223,1972 222,8968 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-08 7,498 7,488 30,01 30,01 225,01498 224,71488 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-09 7,523 7,513 30,08 30,08 226,29184 225,99104 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-12 7,555 7,545 30,21 30,21 228,23655 227,93445 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-13 7,57 7,56 30,14 30,14 228,1598 227,8584 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-14 7,61 7,6 30,13 30,13 229,2893 228,988 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-15 7,658 7,648 30,17 30,17 231,04186 230,74016 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-16 7,613 7,603 30,22 30,22 230,06486 229,76266 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-19 7,698 7,688 30,23 30,23 232,71054 232,40824 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-20 7,688 7,678 30,34 30,34 233,25392 232,95052 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-21 7,663 7,653 30,28 30,28 232,03564 231,73284 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-22 7,648 7,638 30,18 30,18 230,81664 230,51484 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-23 7,733 7,723 30,07 30,07 232,53131 232,23061 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-26 7,798 7,788 30,22 30,22 235,65556 235,35336 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-27 7,825 7,815 30,23 30,23 236,54975 236,24745 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-28 7,81 7,8 30,36 30,36 237,1116 236,808 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-29 7,785 7,775 30,49 30,49 237,36465 237,05975 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-09-30 7,785 7,775 30,49 30,49 237,36465 237,05975 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-03 7,783 7,773 30,45 30,45 236,99235 236,68785 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-04 7,82 7,81 30,44 30,44 238,0408 237,7364 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-05 7,795 7,785 30,27 30,27 235,95465 235,65195 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-06 7,713 7,703 29,99 29,99 231,31287 231,01297 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-07 7,683 7,673 30,01 30,01 230,56683 230,26673 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-10 7,698 7,688 29,98 29,98 230,78604 230,48624 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-11 7,77 7,76 30,06 30,06 233,5662 233,2656 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-12 7,805 7,795 29,99 29,99 234,07195 233,77205 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-13 7,83 7,82 29,76 29,76 233,0208 232,7232 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-14 7,833 7,823 29,7 29,7 232,6401 232,3431 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-17 7,835 7,825 29,82 29,82 233,6397 233,3415 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-18 7,893 7,883 29,71 29,71 234,50103 234,20393 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-19 7,96 7,95 29,47 29,47 234,5812 234,2865 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-20 7,93 7,92 29,63 29,63 234,9659 234,6696 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-21 7,883 7,873 29,57 29,57 233,10031 232,80461 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-24 7,995 7,985 29,6 29,6 236,652 236,356 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-25 7,99 7,98 29,79 29,79 238,0221 237,7242 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-26 7,868 7,858 29,84 29,84 234,78112 234,48272 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-27 7,868 7,858 29,85 29,85 234,8598 234,5613 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-28 7,825 7,815 29,72 29,72 232,559 232,2618 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-10-31 7,905 7,895 30 30 237,15 236,85 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-02 7,98 7,97 30,09 30,09 240,1182 239,8173 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-03 8,01 8 30,34 30,34 243,0234 242,72 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-04 8,028 8,018 30,27 30,27 243,00756 242,70486 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-07 8,135 8,125 30,2 30,2 245,677 245,375 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-08 8,17 8,16 30,12 30,12 246,0804 245,7792 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-09 8,12 8,11 30,19 30,19 245,1428 244,8409 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-10 8,173 8,163 30,18 30,18 246,66114 246,35934 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-11 8,235 8,225 30,22 30,22 248,8617 248,5595 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-14 8,133 8,123 30,25 30,25 246,02325 245,72075 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-15 8,185 8,175 30,08 30,08 246,2048 245,904 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-16 8,21 8,2 30,12 30,12 247,2852 246,984 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-17 8,258 8,248 30,29 30,29 250,13482 249,83192 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-18 8,223 8,213 30,45 30,45 250,39035 250,08585 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-21 8,123 8,113 30,5 30,5 247,7515 247,4465 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-22 8,15 8,14 30,44 30,44 248,086 247,7816 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-23 8,048 8,038 30,63 30,63 246,51024 246,20394 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-24 8,053 8,043 30,66 30,66 246,90498 246,59838 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-25 8,078 8,068 30,68 30,68 247,83304 247,52624 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-28 8,118 8,108 30,65 30,65 248,8167 248,5102 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-29 8,015 8,005 30,67 30,67 245,82005 245,51335 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-11-30 8,088 8,078 30,55 30,55 247,0884 246,7829 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-01 8,083 8,073 30,69 30,69 248,06727 247,76037 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-02 8,103 8,093 30,76 30,76 249,24828 248,94068 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-05 8,045 8,035 30,79 30,79 247,70555 247,39765 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-06 7,993 7,983 30,77 30,77 245,94461 245,63691 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-07 8,015 8,005 30,84 30,84 247,1826 246,8742 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-08 7,988 7,978 30,72 30,72 245,39136 245,08416 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-12 7,953 7,943 31 31 246,543 246,233 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-13 7,905 7,895 31,02 31,02 245,2131 244,9029 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-14 7,848 7,838 31,15 31,15 244,4652 244,1537 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-15 7,858 7,848 31,16 31,16 244,85528 244,54368 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-16 7,903 7,893 31,13 31,13 246,02039 245,70909 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-19 7,865 7,855 31,16 31,16 245,0734 244,7618 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-20 7,848 7,838 31,11 31,11 244,15128 243,84018 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-21 7,948 7,938 31,22 31,22 248,13656 247,82436 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-22 7,98 7,97 31,21 31,21 249,0558 248,7437 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-23 7,955 7,945 31,26 31,26 248,6733 248,3607 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-27 8,01 8 31,31 31,31 250,7931 250,48 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-28 7,915 7,905 31,29 31,29 247,66035 247,34745 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-29 7,938 7,928 31,26 31,26 248,14188 247,82928 302760 BlackRock (Channel Islands) Limited MLIIF Global Allocation Fund USD 2005-12-30 7,958 7,948 31,17 31,17 248,05086 247,73916 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-03 6,668 6,658 96,72 96,72 644,92896 643,96176 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-04 6,728 6,718 95,95 95,95 645,5516 644,5921 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-05 6,828 6,818 94,65 94,65 646,2702 645,3237 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-07 6,87 6,86 95,12 95,12 653,4744 652,5232 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-10 6,96091 6,95091 94,91 94,91 660,6599681 659,7108681 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-11 6,96091 6,95091 94,93 94,93 660,7991863 659,8498863 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-12 6,913 6,903 94,45 94,45 652,93285 651,98835 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-13 6,843 6,833 94,84 94,84 648,99012 648,04172 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-14 6,915 6,905 94,63 94,63 654,36645 653,42015 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-17 6,915 6,905 95,02 95,02 657,0633 656,1131 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-18 6,968 6,958 94,59 94,59 659,10312 658,15722 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-19 6,91 6,9 95,38 95,38 659,0758 658,122 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-20 6,96 6,95 94,04 94,04 654,5184 653,578 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-21 6,978 6,968 94,17 94,17 657,11826 656,17656 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-24 6,933 6,923 94,18 94,18 652,94994 652,00814 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-25 6,95 6,94 94,43 94,43 656,2885 655,3442 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-26 6,995 6,985 94,46 94,46 660,7477 659,8031 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-27 6,93 6,92 94,44 94,44 654,4692 653,5248 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-28 6,985 6,975 94,67 94,67 661,26995 660,32325 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-01-31 6,998 6,988 95,06 95,06 665,22988 664,27928 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-01 6,993 6,983 95,17 95,17 665,52381 664,57211 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-02 6,953 6,943 95,76 95,76 665,81928 664,86168 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-03 6,968 6,958 95,6 95,6 666,1408 665,1848 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-04 7,01 7 95,82 95,82 671,6982 670,74 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-07 7,065 7,055 96,37 96,37 680,85405 679,89035 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-08 7,123 7,113 95,95 95,95 683,45185 682,49235 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-09 7,1 7,09 96,12 96,12 682,452 681,4908 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-10 7,088 7,078 95,9 95,9 679,7392 678,7802 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-11 7,068 7,058 96,3 96,3 680,6484 679,6854 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-14 7,03 7,02 97,21 97,21 683,3863 682,4142 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-15 7,005 6,995 97,36 97,36 682,0068 681,0332 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-16 6,973 6,963 97,18 97,18 677,63614 676,66434 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-17 6,97 6,96 97,64 97,64 680,5508 679,5744 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-18 6,965 6,955 97,22 97,22 677,1373 676,1651 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-21 6,978 6,968 97,27 97,27 678,75006 677,77736 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-22 6,905 6,895 97,46 97,46 672,9613 671,9867 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-23 6,895 6,885 96,81 96,81 667,50495 666,53685 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-24 6,858 6,848 97,08 97,08 665,77464 664,80384 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-25 6,885 6,875 97,48 97,48 671,1498 670,175 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-02-28 6,828 6,818 98,55 98,55 672,8994 671,9139 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-01 6,87 6,86 98,49 98,49 676,6263 675,6414 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-02 6,888 6,878 98,05 98,05 675,3684 674,3879 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-03 6,903 6,893 98,67 98,67 681,11901 680,13231 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-04 6,9 6,89 98,89 98,89 682,341 681,3521 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-07 6,84 6,83 99,68 99,68 681,8112 680,8144 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-08 6,825 6,815 99,51 99,51 679,15575 678,16065 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-09 6,76 6,75 99,58 99,58 673,1608 672,165 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-10 6,745 6,735 99,1 99,1 668,4295 667,4385 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-11 6,765 6,755 99,1 99,1 670,4115 669,4205 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-14 6,76 6,75 98,45 98,45 665,522 664,5375 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-15 6,815 6,805 99,14 99,14 675,6391 674,6477 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-16 6,81 6,8 98,05 98,05 667,7205 666,74 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-17 6,795 6,785 97,73 97,73 664,07535 663,09805 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-18 6,828 6,818 97,65 97,65 666,7542 665,7777 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-21 6,908 6,898 97,34 97,34 672,42472 671,45132 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-22 6,928 6,918 97,11 97,11 672,77808 671,80698 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-23 6,973 6,963 95,64 95,64 666,89772 665,94132 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-24 7,008 6,998 96,01 96,01 672,83808 671,87798 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-29 7,055 7,045 95,55 95,55 674,10525 673,14975 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-30 7,053 7,043 95,22 95,22 671,58666 670,63446 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-03-31 7,065 7,055 96,22 96,22 679,7943 678,8321 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-01 7,07 7,06 96,65 96,65 683,3155 682,349 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-04 7,113 7,103 95,01 95,01 675,80613 674,85603 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-05 7,163 7,153 95,88 95,88 686,78844 685,82964 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-06 7,125 7,115 96,23 96,23 685,63875 684,67645 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-07 7,083 7,073 96,48 96,48 683,36784 682,40304 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-08 7,153 7,143 96,67 96,67 691,48051 690,51381 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-11 7,098 7,088 96,46 96,46 684,67308 683,70848 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-12 7,048 7,038 96,19 96,19 677,94712 676,98522 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-13 7,075 7,065 96,54 96,54 683,0205 682,0551 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-14 7,12 7,11 95,65 95,65 681,028 680,0715 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-15 7,17 7,16 94,25 94,25 675,7725 674,83 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-18 7,08 7,07 93,05 93,05 658,794 657,8635 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-19 7,068 7,058 93,77 93,77 662,76636 661,82866 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-20 7,043 7,033 93,52 93,52 658,66136 657,72616 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-21 7,025 7,015 93,49 93,49 656,76725 655,83235 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-22 7,023 7,013 94,04 94,04 660,44292 659,50252 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-25 7,04 7,03 94,01 94,01 661,8304 660,8903 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-26 7,035 7,025 93,86 93,86 660,3051 659,3665 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-27 7,085 7,075 92,71 92,71 656,85035 655,92325 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-28 7,085 7,075 92,78 92,78 657,3463 656,4185 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-04-29 7,08 7,07 93,29 93,29 660,4932 659,5603 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-02 7,15 7,14 93,59 93,59 669,1685 668,2326 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-03 7,178 7,168 93,34 93,34 669,99452 669,06112 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-04 7,11 7,1 93,95 93,95 667,9845 667,045 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-06 7,085 7,075 95,1 95,1 673,7835 672,8325 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-09 7,168 7,158 94,53 94,53 677,59104 676,64574 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-10 7,178 7,168 94,35 94,35 677,2443 676,3008 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-11 7,15 7,14 94,1 94,1 672,815 671,874 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-12 7,243 7,233 93,77 93,77 679,17611 678,23841 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-13 7,265 7,255 92,54 92,54 672,3031 671,3777 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-17 7,313 7,303 92,65 92,65 677,54945 676,62295 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-18 7,3 7,29 93,44 93,44 682,112 681,1776 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-19 7,26 7,25 94,4 94,4 685,344 684,4 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-20 7,28 7,27 94,3 94,3 686,504 685,561 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-23 7,32 7,31 94,24 94,24 689,8368 688,8944 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-24 7,295 7,285 94,51 94,51 689,45045 688,50535 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-25 7,298 7,288 94,25 94,25 687,8365 686,894 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-26 7,33 7,32 94,55 94,55 693,0515 692,106 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-27 7,338 7,328 94,88 94,88 696,22944 695,28064 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-30 7,338 7,328 95,05 95,05 697,4769 696,5264 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-05-31 7,403 7,393 94,22 94,22 697,51066 696,56846 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-01 7,428 7,418 94,27 94,27 700,23756 699,29486 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-02 7,473 7,463 94,96 94,96 709,63608 708,68648 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-03 7,438 7,428 95,24 95,24 708,39512 707,44272 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-07 7,448 7,438 95,51 95,51 711,35848 710,40338 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-08 7,435 7,425 95,53 95,53 710,26555 709,31025 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-09 7,523 7,513 94,78 94,78 713,02994 712,08214 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-10 7,525 7,515 95,48 95,48 718,487 717,5322 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-13 7,643 7,633 94,52 94,52 722,41636 721,47116 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-14 7,663 7,653 95,19 95,19 729,44097 728,48907 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-15 7,693 7,683 95,22 95,22 732,52746 731,57526 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-16 7,678 7,668 95,57 95,57 733,78646 732,83076 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-17 7,643 7,633 96,72 96,72 739,23096 738,26376 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-20 7,543 7,533 96,33 96,33 726,61719 725,65389 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-21 7,648 7,638 96,09 96,09 734,89632 733,93542 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-22 7,608 7,598 96,65 96,65 735,3132 734,3467 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-27 7,73 7,72 95,25 95,25 736,2825 735,33 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-28 7,76 7,75 95,42 95,42 740,4592 739,505 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-29 7,833 7,823 95,53 95,53 748,28649 747,33119 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-06-30 7,823 7,813 95,92 95,92 750,38216 749,42296 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-01 7,858 7,848 95,67 95,67 751,77486 750,81816 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-04 7,945 7,935 95,35 95,35 757,55575 756,60225 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-05 7,963 7,953 95,11 95,11 757,36093 756,40983 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-06 7,895 7,885 95,87 95,87 756,89365 755,93495 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-07 7,878 7,868 94,71 94,71 746,12538 745,17828 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-08 7,913 7,903 95,52 95,52 755,84976 754,89456 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-11 7,89 7,88 96,61 96,61 762,2529 761,2868 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-12 7,77 7,76 97,46 97,46 757,2642 756,2896 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-13 7,703 7,693 97,76 97,76 753,04528 752,06768 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-14 7,76 7,75 97,94 97,94 760,0144 759,035 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-15 7,76 7,75 97,59 97,59 757,2984 756,3225 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-18 7,78 7,77 97,11 97,11 755,5158 754,5447 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-19 7,878 7,868 97,01 97,01 764,24478 763,27468 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-20 7,818 7,808 97,39 97,39 761,39502 760,42112 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-21 7,775 7,765 97,99 97,99 761,87225 760,89235 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-22 7,758 7,748 97,93 97,93 759,74094 758,76164 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-25 7,838 7,828 97,85 97,85 766,9483 765,9698 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-26 7,818 7,808 97,47 97,47 762,02046 761,04576 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-27 7,905 7,895 97,67 97,67 772,08135 771,10465 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-28 7,848 7,838 98,26 98,26 771,14448 770,16188 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-07-29 7,748 7,738 98,74 98,74 765,03752 764,05012 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-01 7,72 7,71 99,05 99,05 764,666 763,6755 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-02 7,7 7,69 99,25 99,25 764,225 763,2325 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-03 7,685 7,675 99,74 99,74 766,5019 765,5045 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-04 7,618 7,608 99,42 99,42 757,38156 756,38736 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-05 7,548 7,538 99,24 99,24 749,06352 748,07112 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-08 7,558 7,548 99,43 99,43 751,49194 750,49764 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-09 7,548 7,538 99,31 99,31 749,59188 748,59878 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-10 7,558 7,548 100,56 100,56 760,03248 759,02688 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-11 7,523 7,513 100,64 100,64 757,11472 756,10832 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-12 7,46 7,45 100,77 100,77 751,7442 750,7365 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-16 7,523 7,513 100,29 100,29 754,48167 753,47877 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-17 7,605 7,595 99,55 99,55 757,07775 756,08225 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-18 7,61 7,6 99,1 99,1 754,151 753,16 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-19 7,698 7,688 99,39 99,39 765,10422 764,11032 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-22 7,69 7,68 100,31 100,31 771,3839 770,3808 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-23 7,663 7,653 99,66 99,66 763,69458 762,69798 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-24 7,673 7,663 99,23 99,23 761,39179 760,39949 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-25 7,588 7,578 99,01 99,01 751,28788 750,29778 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-26 7,578 7,568 98,94 98,94 749,76732 748,77792 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-29 7,573 7,563 98,62 98,62 746,84926 745,86306 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-30 7,633 7,623 98,59 98,59 752,53747 751,55157 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-08-31 7,668 7,658 98,89 98,89 758,28852 757,29962 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-01 7,568 7,558 100,53 100,53 760,81104 759,80574 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-02 7,435 7,425 101,03 101,03 751,15805 750,14775 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-05 7,41 7,4 101,21 101,21 749,9661 748,954 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-06 7,485 7,475 101,17 101,17 757,25745 756,24575 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-07 7,43 7,42 101,61 101,61 754,9623 753,9462 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-08 7,498 7,488 101,32 101,32 759,69736 758,68416 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-09 7,523 7,513 101,63 101,63 764,56249 763,54619 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-12 7,555 7,545 102,09 102,09 771,28995 770,26905 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-13 7,57 7,56 101,43 101,43 767,8251 766,8108 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-14 7,61 7,6 101,4 101,4 771,654 770,64 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-15 7,658 7,648 101,39 101,39 776,44462 775,43072 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-16 7,613 7,603 101,58 101,58 773,32854 772,31274 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-19 7,698 7,688 101,42 101,42 780,73116 779,71696 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-20 7,688 7,678 101,71 101,71 781,94648 780,92938 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-21 7,663 7,653 100,91 100,91 773,27333 772,26423 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-22 7,648 7,638 100,3 100,3 767,0944 766,0914 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-23 7,733 7,723 99,87 99,87 772,29471 771,29601 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-26 7,798 7,788 100,47 100,47 783,46506 782,46036 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-27 7,825 7,815 100,23 100,23 784,29975 783,29745 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-28 7,81 7,8 100,87 100,87 787,7947 786,786 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-29 7,785 7,775 100,94 100,94 785,8179 784,8085 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-09-30 7,785 7,775 101,39 101,39 789,32115 788,30725 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-03 7,783 7,773 101,37 101,37 788,96271 787,94901 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-04 7,82 7,81 100,85 100,85 788,647 787,6385 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-05 7,795 7,785 100,16 100,16 780,7472 779,7456 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-06 7,713 7,703 98,73 98,73 761,50449 760,51719 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-07 7,683 7,673 99,02 99,02 760,77066 759,78046 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-10 7,698 7,688 98,62 98,62 759,17676 758,19056 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-11 7,77 7,76 98,94 98,94 768,7638 767,7744 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-12 7,805 7,795 98,39 98,39 767,93395 766,95005 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-13 7,83 7,82 97,08 97,08 760,1364 759,1656 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-14 7,833 7,823 97,11 97,11 760,66263 759,69153 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-17 7,835 7,825 97,7 97,7 765,4795 764,5025 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-18 7,893 7,883 96,98 96,98 765,46314 764,49334 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-19 7,96 7,95 95,79 95,79 762,4884 761,5305 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-20 7,93 7,92 96,93 96,93 768,6549 767,6856 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-21 7,883 7,873 96,27 96,27 758,89641 757,93371 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-24 7,995 7,985 96,74 96,74 773,4363 772,4689 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-25 7,99 7,98 97,78 97,78 781,2622 780,2844 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-26 7,868 7,858 97,78 97,78 769,33304 768,35524 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-27 7,868 7,858 97,54 97,54 767,44472 766,46932 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-28 7,825 7,815 97,02 97,02 759,1815 758,2113 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-10-31 7,905 7,895 98,51 98,51 778,72155 777,73645 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-02 7,98 7,97 98,99 98,99 789,9402 788,9503 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-03 8,01 8 100,48 100,48 804,8448 803,84 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-04 8,028 8,018 100,11 100,11 803,68308 802,68198 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-07 8,135 8,125 99,87 99,87 812,44245 811,44375 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-08 8,17 8,16 99,3 99,3 811,281 810,288 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-09 8,12 8,11 99,37 99,37 806,8844 805,8907 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-10 8,173 8,163 99,79 99,79 815,58367 814,58577 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-11 8,235 8,225 100,27 100,27 825,72345 824,72075 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-14 8,133 8,123 100,55 100,55 817,77315 816,76765 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-15 8,185 8,175 99,86 99,86 817,3541 816,3555 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-16 8,21 8,2 99,86 99,86 819,8506 818,852 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-17 8,258 8,248 100,64 100,64 831,08512 830,07872 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-18 8,223 8,213 101,13 101,13 831,59199 830,58069 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-21 8,123 8,113 101,34 101,34 823,18482 822,17142 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-22 8,15 8,14 101,36 101,36 826,084 825,0704 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-23 8,048 8,038 102,32 102,32 823,47136 822,44816 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-24 8,053 8,043 102,5 102,5 825,4325 824,4075 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-25 8,078 8,068 102,53 102,53 828,23734 827,21204 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-28 8,118 8,108 102,41 102,41 831,36438 830,34028 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-29 8,015 8,005 102,55 102,55 821,93825 820,91275 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-11-30 8,088 8,078 101,97 101,97 824,73336 823,71366 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-01 8,083 8,073 102,91 102,91 831,82153 830,79243 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-02 8,103 8,093 103,22 103,22 836,39166 835,35946 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-05 8,045 8,035 103,45 103,45 832,25525 831,22075 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-06 7,993 7,983 103,67 103,67 828,63431 827,59761 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-07 8,015 8,005 103,65 103,65 830,75475 829,71825 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-08 7,988 7,978 103,07 103,07 823,32316 822,29246 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-12 7,953 7,943 104,28 104,28 829,33884 828,29604 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-13 7,905 7,895 104,35 104,35 824,88675 823,84325 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-14 7,848 7,838 105,15 105,15 825,2172 824,1657 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-15 7,858 7,848 105,01 105,01 825,16858 824,11848 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-16 7,903 7,893 105,01 105,01 829,89403 828,84393 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-19 7,865 7,855 104,98 104,98 825,6677 824,6179 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-20 7,848 7,838 104,84 104,84 822,78432 821,73592 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-21 7,948 7,938 105,17 105,17 835,89116 834,83946 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-22 7,98 7,97 104,98 104,98 837,7404 836,6906 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-23 7,955 7,945 105,34 105,34 837,9797 836,9263 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-27 8,01 8 105,39 105,39 844,1739 843,12 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-28 7,915 7,905 105,18 105,18 832,4997 831,4479 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-29 7,938 7,928 105,16 105,16 834,76008 833,70848 266932 BlackRock (Channel Islands) Limited MLIIF Global Equity Diversified Fund USD 2005-12-30 7,958 7,948 104,59 104,59 832,32722 831,28132 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-03 6,668 6,658 42,16 42,16 281,12288 280,70128 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-04 6,728 6,718 41,67 41,67 280,35576 279,93906 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-05 6,828 6,818 40,98 40,98 279,81144 279,40164 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-07 6,87 6,86 41,08 41,08 282,2196 281,8088 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-10 6,96091 6,95091 40,99 40,99 285,3277009 284,9178009 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-11 6,96091 6,95091 41,08 41,08 285,9541828 285,5433828 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-12 6,913 6,903 40,96 40,96 283,15648 282,74688 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-13 6,843 6,833 41,22 41,22 282,06846 281,65626 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-14 6,915 6,905 41,1 41,1 284,2065 283,7955 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-17 6,915 6,905 41,29 41,29 285,52035 285,10745 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-18 6,968 6,958 41,19 41,19 287,01192 286,60002 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-19 6,91 6,9 41,45 41,45 286,4195 286,005 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-20 6,96 6,95 40,86 40,86 284,3856 283,977 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-21 6,978 6,968 40,94 40,94 285,67932 285,26992 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-24 6,933 6,923 40,98 40,98 284,11434 283,70454 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-25 6,95 6,94 40,94 40,94 284,533 284,1236 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-26 6,995 6,985 41,1 41,1 287,4945 287,0835 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-27 6,93 6,92 41,34 41,34 286,4862 286,0728 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-28 6,985 6,975 41,42 41,42 289,3187 288,9045 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-01-31 6,998 6,988 41,64 41,64 291,39672 290,98032 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-01 6,993 6,983 41,82 41,82 292,44726 292,02906 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-02 6,953 6,943 42,13 42,13 292,92989 292,50859 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-03 6,968 6,958 42,3 42,3 294,7464 294,3234 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-04 7,01 7 42,47 42,47 297,7147 297,29 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-07 7,065 7,055 42,6 42,6 300,969 300,543 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-08 7,123 7,113 42,34 42,34 301,58782 301,16442 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-09 7,1 7,09 42,29 42,29 300,259 299,8361 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-10 7,088 7,078 42,14 42,14 298,68832 298,26692 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-11 7,068 7,058 42,22 42,22 298,41096 297,98876 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-14 7,03 7,02 42,74 42,74 300,4622 300,0348 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-15 7,005 6,995 42,94 42,94 300,7947 300,3653 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-16 6,973 6,963 42,93 42,93 299,35089 298,92159 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-17 6,97 6,96 43,14 43,14 300,6858 300,2544 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-18 6,965 6,955 42,95 42,95 299,14675 298,71725 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-21 6,978 6,968 42,86 42,86 299,07708 298,64848 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-22 6,905 6,895 42,8 42,8 295,534 295,106 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-23 6,895 6,885 42,62 42,62 293,8649 293,4387 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-24 6,858 6,848 42,73 42,73 293,04234 292,61504 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-25 6,885 6,875 42,88 42,88 295,2288 294,8 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-02-28 6,828 6,818 43,29 43,29 295,58412 295,15122 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-01 6,87 6,86 43,23 43,23 296,9901 296,5578 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-02 6,888 6,878 43,01 43,01 296,25288 295,82278 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-03 6,903 6,893 43,29 43,29 298,83087 298,39797 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-04 6,9 6,89 43,31 43,31 298,839 298,4059 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-07 6,84 6,83 43,8 43,8 299,592 299,154 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-08 6,825 6,815 43,75 43,75 298,59375 298,15625 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-09 6,76 6,75 43,66 43,66 295,1416 294,705 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-10 6,745 6,735 43,43 43,43 292,93535 292,50105 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-11 6,765 6,755 43,56 43,56 294,6834 294,2478 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-14 6,76 6,75 43,47 43,47 293,8572 293,4225 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-15 6,815 6,805 43,57 43,57 296,92955 296,49385 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-16 6,81 6,8 43,28 43,28 294,7368 294,304 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-17 6,795 6,785 43,05 43,05 292,52475 292,09425 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-18 6,828 6,818 43,14 43,14 294,55992 294,12852 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-21 6,908 6,898 42,91 42,91 296,42228 295,99318 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-22 6,928 6,918 42,83 42,83 296,72624 296,29794 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-23 6,973 6,963 42,1 42,1 293,5633 293,1423 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-24 7,008 6,998 42,16 42,16 295,45728 295,03568 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-29 7,055 7,045 41,73 41,73 294,40515 293,98785 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-30 7,053 7,043 41,52 41,52 292,84056 292,42536 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-03-31 7,065 7,055 42,03 42,03 296,94195 296,52165 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-01 7,07 7,06 42,4 42,4 299,768 299,344 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-04 7,113 7,103 41,93 41,93 298,24809 297,82879 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-05 7,163 7,153 41,96 41,96 300,55948 300,13988 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-06 7,125 7,115 42,07 42,07 299,74875 299,32805 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-07 7,083 7,073 42,21 42,21 298,97343 298,55133 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-08 7,153 7,143 42,29 42,29 302,50037 302,07747 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-11 7,098 7,088 42,17 42,17 299,32266 298,90096 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-12 7,048 7,038 42,1 42,1 296,7208 296,2998 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-13 7,075 7,065 42,19 42,19 298,49425 298,07235 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-14 7,12 7,11 41,65 41,65 296,548 296,1315 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-15 7,17 7,16 40,84 40,84 292,8228 292,4144 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-18 7,08 7,07 40,08 40,08 283,7664 283,3656 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-19 7,068 7,058 40,65 40,65 287,3142 286,9077 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-20 7,043 7,033 40,83 40,83 287,56569 287,15739 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-21 7,025 7,015 40,95 40,95 287,67375 287,26425 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-22 7,023 7,013 41,01 41,01 288,01323 287,60313 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-25 7,04 7,03 40,83 40,83 287,4432 287,0349 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-26 7,035 7,025 40,79 40,79 286,95765 286,54975 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-27 7,085 7,075 40,16 40,16 284,5336 284,132 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-28 7,085 7,075 39,98 39,98 283,2583 282,8585 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-04-29 7,08 7,07 40 40 283,2 282,8 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-02 7,15 7,14 39,99 39,99 285,9285 285,5286 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-03 7,178 7,168 40,04 40,04 287,40712 287,00672 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-04 7,11 7,1 40,15 40,15 285,4665 285,065 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-06 7,085 7,075 40,76 40,76 288,7846 288,377 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-09 7,168 7,158 40,71 40,71 291,80928 291,40218 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-10 7,178 7,168 40,72 40,72 292,28816 291,88096 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-11 7,15 7,14 40,64 40,64 290,576 290,1696 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-12 7,243 7,233 40,62 40,62 294,21066 293,80446 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-13 7,265 7,255 40,12 40,12 291,4718 291,0706 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-17 7,313 7,303 40,07 40,07 293,03191 292,63121 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-18 7,3 7,29 40,47 40,47 295,431 295,0263 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-19 7,26 7,25 40,98 40,98 297,5148 297,105 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-20 7,28 7,27 40,9 40,9 297,752 297,343 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-23 7,32 7,31 41,09 41,09 300,7788 300,3679 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-24 7,295 7,285 41,22 41,22 300,6999 300,2877 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-25 7,298 7,288 41,17 41,17 300,45866 300,04696 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-26 7,33 7,32 41,32 41,32 302,8756 302,4624 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-27 7,338 7,328 41,49 41,49 304,45362 304,03872 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-30 7,338 7,328 41,64 41,64 305,55432 305,13792 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-05-31 7,403 7,393 41,57 41,57 307,74271 307,32701 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-01 7,428 7,418 41,49 41,49 308,18772 307,77282 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-02 7,473 7,463 41,74 41,74 311,92302 311,50562 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-03 7,438 7,428 42,04 42,04 312,69352 312,27312 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-07 7,448 7,438 42,22 42,22 314,45456 314,03236 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-08 7,435 7,425 42,27 42,27 314,27745 313,85475 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-09 7,523 7,513 41,93 41,93 315,43939 315,02009 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-10 7,525 7,515 42,24 42,24 317,856 317,4336 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-13 7,643 7,633 42,06 42,06 321,46458 321,04398 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-14 7,663 7,653 42,28 42,28 323,99164 323,56884 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-15 7,693 7,683 42,45 42,45 326,56785 326,14335 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-16 7,678 7,668 42,72 42,72 328,00416 327,57696 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-17 7,643 7,633 43,04 43,04 328,95472 328,52432 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-20 7,543 7,533 42,95 42,95 323,97185 323,54235 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-21 7,648 7,638 42,76 42,76 327,02848 326,60088 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-22 7,608 7,598 42,96 42,96 326,83968 326,41008 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-27 7,73 7,72 41,97 41,97 324,4281 324,0084 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-28 7,76 7,75 42,15 42,15 327,084 326,6625 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-29 7,833 7,823 42,2 42,2 330,5526 330,1306 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-06-30 7,823 7,813 42 42 328,566 328,146 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-01 7,858 7,848 42,39 42,39 333,10062 332,67672 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-04 7,945 7,935 42,42 42,42 337,0269 336,6027 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-05 7,963 7,953 42,16 42,16 335,72008 335,29848 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-06 7,895 7,885 42,53 42,53 335,77435 335,34905 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-07 7,878 7,868 42,09 42,09 331,58502 331,16412 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-08 7,913 7,903 42,54 42,54 336,61902 336,19362 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-11 7,89 7,88 43,09 43,09 339,9801 339,5492 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-12 7,77 7,76 43,46 43,46 337,6842 337,2496 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-13 7,703 7,693 43,51 43,51 335,15753 334,72243 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-14 7,76 7,75 43,55 43,55 337,948 337,5125 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-15 7,76 7,75 43,34 43,34 336,3184 335,885 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-18 7,78 7,77 43,38 43,38 337,4964 337,0626 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-19 7,878 7,868 43,35 43,35 341,5113 341,0778 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-20 7,818 7,808 43,69 43,69 341,56842 341,13152 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-21 7,775 7,765 44 44 342,1 341,66 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-22 7,758 7,748 44,1 44,1 342,1278 341,6868 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-25 7,838 7,828 44,1 44,1 345,6558 345,2148 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-26 7,818 7,808 43,96 43,96 343,67928 343,23968 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-27 7,905 7,895 44,05 44,05 348,21525 347,77475 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-28 7,848 7,838 44,43 44,43 348,68664 348,24234 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-07-29 7,748 7,738 44,67 44,67 346,10316 345,65646 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-01 7,72 7,71 44,93 44,93 346,8596 346,4103 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-02 7,7 7,69 45,23 45,23 348,271 347,8187 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-03 7,685 7,675 45,22 45,22 347,5157 347,0635 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-04 7,618 7,608 45,02 45,02 342,96236 342,51216 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-05 7,548 7,538 44,78 44,78 337,99944 337,55164 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-08 7,558 7,548 44,98 44,98 339,95884 339,50904 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-09 7,548 7,538 45,09 45,09 340,33932 339,88842 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-10 7,558 7,548 45,4 45,4 343,1332 342,6792 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-11 7,523 7,513 45,5 45,5 342,2965 341,8415 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-12 7,46 7,45 45,44 45,44 338,9824 338,528 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-16 7,523 7,513 45,24 45,24 340,34052 339,88812 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-17 7,605 7,595 44,94 44,94 341,7687 341,3193 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-18 7,61 7,6 44,68 44,68 340,0148 339,568 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-19 7,698 7,688 44,79 44,79 344,79342 344,34552 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-22 7,69 7,68 45,2 45,2 347,588 347,136 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-23 7,663 7,653 45,19 45,19 346,29097 345,83907 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-24 7,673 7,663 44,84 44,84 344,05732 343,60892 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-25 7,588 7,578 44,93 44,93 340,92884 340,47954 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-26 7,578 7,568 44,96 44,96 340,70688 340,25728 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-29 7,573 7,563 44,6 44,6 337,7558 337,3098 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-30 7,633 7,623 44,8 44,8 341,9584 341,5104 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-08-31 7,668 7,658 44,91 44,91 344,36988 343,92078 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-01 7,568 7,558 45,9 45,9 347,3712 346,9122 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-02 7,435 7,425 46,08 46,08 342,6048 342,144 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-05 7,41 7,4 46,05 46,05 341,2305 340,77 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-06 7,485 7,475 46,21 46,21 345,88185 345,41975 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-07 7,43 7,42 46,23 46,23 343,4889 343,0266 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-08 7,498 7,488 46,21 46,21 346,48258 346,02048 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-09 7,523 7,513 46,49 46,49 349,74427 349,27937 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-12 7,555 7,545 46,8 46,8 353,574 353,106 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-13 7,57 7,56 46,52 46,52 352,1564 351,6912 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-14 7,61 7,6 46,42 46,42 353,2562 352,792 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-15 7,658 7,648 46,38 46,38 355,17804 354,71424 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-16 7,613 7,603 46,41 46,41 353,31933 352,85523 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-19 7,698 7,688 46,39 46,39 357,11022 356,64632 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-20 7,688 7,678 46,53 46,53 357,72264 357,25734 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-21 7,663 7,653 46,29 46,29 354,72027 354,25737 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-22 7,648 7,638 45,92 45,92 351,19616 350,73696 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-23 7,733 7,723 45,78 45,78 354,01674 353,55894 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-26 7,798 7,788 46,04 46,04 359,01992 358,55952 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-27 7,825 7,815 46,06 46,06 360,4195 359,9589 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-28 7,81 7,8 46,2 46,2 360,822 360,36 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-29 7,785 7,775 46,22 46,22 359,8227 359,3605 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-09-30 7,785 7,775 46,52 46,52 362,1582 361,693 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-03 7,783 7,773 46,59 46,59 362,60997 362,14407 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-04 7,82 7,81 46,56 46,56 364,0992 363,6336 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-05 7,795 7,785 46,21 46,21 360,20695 359,74485 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-06 7,713 7,703 45,44 45,44 350,47872 350,02432 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-07 7,683 7,673 45,3 45,3 348,0399 347,5869 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-10 7,698 7,688 45,33 45,33 348,95034 348,49704 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-11 7,77 7,76 45,34 45,34 352,2918 351,8384 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-12 7,805 7,795 45,01 45,01 351,30305 350,85295 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-13 7,83 7,82 44,26 44,26 346,5558 346,1132 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-14 7,833 7,823 44,25 44,25 346,61025 346,16775 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-17 7,835 7,825 44,55 44,55 349,04925 348,60375 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-18 7,893 7,883 44,42 44,42 350,60706 350,16286 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-19 7,96 7,95 43,62 43,62 347,2152 346,779 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-20 7,93 7,92 44,23 44,23 350,7439 350,3016 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-21 7,883 7,873 43,89 43,89 345,98487 345,54597 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-24 7,995 7,985 44,17 44,17 353,13915 352,69745 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-25 7,99 7,98 44,5 44,5 355,555 355,11 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-26 7,868 7,858 44,61 44,61 350,99148 350,54538 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-27 7,868 7,858 44,15 44,15 347,3722 346,9307 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-28 7,825 7,815 43,78 43,78 342,5785 342,1407 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-10-31 7,905 7,895 44,34 44,34 350,5077 350,0643 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-02 7,98 7,97 44,6 44,6 355,908 355,462 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-03 8,01 8 45,34 45,34 363,1734 362,72 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-04 8,028 8,018 45,23 45,23 363,10644 362,65414 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-07 8,135 8,125 45,11 45,11 366,96985 366,51875 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-08 8,17 8,16 44,91 44,91 366,9147 366,4656 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-09 8,12 8,11 44,83 44,83 364,0196 363,5713 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-10 8,173 8,163 44,92 44,92 367,13116 366,68196 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-11 8,235 8,225 45,14 45,14 371,7279 371,2765 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-14 8,133 8,123 45,16 45,16 367,28628 366,83468 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-15 8,185 8,175 44,83 44,83 366,93355 366,48525 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-16 8,21 8,2 44,68 44,68 366,8228 366,376 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-17 8,258 8,248 45,15 45,15 372,8487 372,3972 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-18 8,223 8,213 45,53 45,53 374,39319 373,93789 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-21 8,123 8,113 45,64 45,64 370,73372 370,27732 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-22 8,15 8,14 45,74 45,74 372,781 372,3236 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-23 8,048 8,038 46,02 46,02 370,36896 369,90876 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-24 8,053 8,043 45,93 45,93 369,87429 369,41499 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-25 8,078 8,068 45,83 45,83 370,21474 369,75644 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-28 8,118 8,108 45,72 45,72 371,15496 370,69776 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-29 8,015 8,005 45,72 45,72 366,4458 365,9886 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-11-30 8,088 8,078 45,89 45,89 371,15832 370,69942 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-01 8,083 8,073 45,99 45,99 371,73717 371,27727 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-02 8,103 8,093 46,34 46,34 375,49302 375,02962 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-05 8,045 8,035 46,52 46,52 374,2534 373,7882 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-06 7,993 7,983 46,67 46,67 373,03331 372,56661 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-07 8,015 8,005 46,72 46,72 374,4608 373,9936 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-08 7,988 7,978 46,52 46,52 371,60176 371,13656 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-12 7,953 7,943 46,91 46,91 373,07523 372,60613 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-13 7,905 7,895 46,97 46,97 371,29785 370,82815 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-14 7,848 7,838 47,21 47,21 370,50408 370,03198 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-15 7,858 7,848 47,13 47,13 370,34754 369,87624 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-16 7,903 7,893 46,98 46,98 371,28294 370,81314 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-19 7,865 7,855 46,98 46,98 369,4977 369,0279 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-20 7,848 7,838 46,84 46,84 367,60032 367,13192 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-21 7,948 7,938 47,08 47,08 374,19184 373,72104 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-22 7,98 7,97 47,23 47,23 376,8954 376,4231 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-23 7,955 7,945 47,48 47,48 377,7034 377,2286 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-27 8,01 8 47,61 47,61 381,3561 380,88 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-28 7,915 7,905 47,54 47,54 376,2791 375,8037 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-29 7,938 7,928 47,67 47,67 378,40446 377,92776 195271 BlackRock (Channel Islands) Limited MLIIF Global SmallCap Fund USD 2005-12-30 7,958 7,948 47,64 47,64 379,11912 378,64272 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-03 6,668 6,658 19,82 19,82 132,15976 131,96156 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-04 6,728 6,718 19,76 19,76 132,94528 132,74768 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-05 6,828 6,818 19,35 19,35 132,1218 131,9283 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-07 6,87 6,86 19,38 19,38 133,1406 132,9468 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-10 6,96091 6,95091 19,39 19,39 134,9720449 134,7781449 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-11 6,96091 6,95091 19,7 19,7 137,129927 136,932927 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-12 6,913 6,903 19,68 19,68 136,04784 135,85104 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-13 6,843 6,833 19,63 19,63 134,32809 134,13179 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-14 6,915 6,905 19,7 19,7 136,2255 136,0285 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-17 6,915 6,905 19,98 19,98 138,1617 137,9619 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-18 6,968 6,958 19,71 19,71 137,33928 137,14218 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-19 6,91 6,9 19,76 19,76 136,5416 136,344 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-20 6,96 6,95 19,44 19,44 135,3024 135,108 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-21 6,978 6,968 19,3 19,3 134,6754 134,4824 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-24 6,933 6,923 19,62 19,62 136,02546 135,82926 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-25 6,95 6,94 19,41 19,41 134,8995 134,7054 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-26 6,995 6,985 19,55 19,55 136,75225 136,55675 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-27 6,93 6,92 19,54 19,54 135,4122 135,2168 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-28 6,985 6,975 19,51 19,51 136,27735 136,08225 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-01-31 6,998 6,988 19,52 19,52 136,60096 136,40576 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-01 6,993 6,983 19,49 19,49 136,29357 136,09867 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-02 6,953 6,943 19,61 19,61 136,34833 136,15223 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-03 6,968 6,958 19,4 19,4 135,1792 134,9852 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-04 7,01 7 19,32 19,32 135,4332 135,24 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-07 7,065 7,055 19,38 19,38 136,9197 136,7259 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-08 7,123 7,113 19,08 19,08 135,90684 135,71604 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-09 7,1 7,09 19,1 19,1 135,61 135,419 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-10 7,088 7,078 19,11 19,11 135,45168 135,26058 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-11 7,068 7,058 19,15 19,15 135,3522 135,1607 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-14 7,03 7,02 19,49 19,49 137,0147 136,8198 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-15 7,005 6,995 19,48 19,48 136,4574 136,2626 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-16 6,973 6,963 19,4 19,4 135,2762 135,0822 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-17 6,97 6,96 19,28 19,28 134,3816 134,1888 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-18 6,965 6,955 19,34 19,34 134,7031 134,5097 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-21 6,978 6,968 19,34 19,34 134,95452 134,76112 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-22 6,905 6,895 19,55 19,55 134,99275 134,79725 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-23 6,895 6,885 19,25 19,25 132,72875 132,53625 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-24 6,858 6,848 19,3 19,3 132,3594 132,1664 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-25 6,885 6,875 19,27 19,27 132,67395 132,48125 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-02-28 6,828 6,818 19,65 19,65 134,1702 133,9737 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-01 6,87 6,86 19,62 19,62 134,7894 134,5932 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-02 6,888 6,878 19,61 19,61 135,07368 134,87758 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-03 6,903 6,893 19,68 19,68 135,85104 135,65424 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-04 6,9 6,89 19,69 19,69 135,861 135,6641 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-07 6,84 6,83 19,87 19,87 135,9108 135,7121 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-08 6,825 6,815 19,8 19,8 135,135 134,937 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-09 6,76 6,75 20,06 20,06 135,6056 135,405 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-10 6,745 6,735 19,94 19,94 134,4953 134,2959 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-11 6,765 6,755 20 20 135,3 135,1 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-14 6,76 6,75 19,79 19,79 133,7804 133,5825 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-15 6,815 6,805 19,83 19,83 135,14145 134,94315 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-16 6,81 6,8 19,92 19,92 135,6552 135,456 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-17 6,795 6,785 19,83 19,83 134,74485 134,54655 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-18 6,828 6,818 19,88 19,88 135,74064 135,54184 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-21 6,908 6,898 19,77 19,77 136,57116 136,37346 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-22 6,928 6,918 19,82 19,82 137,31296 137,11476 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-23 6,973 6,963 19,53 19,53 136,18269 135,98739 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-24 7,008 6,998 19,26 19,26 134,97408 134,78148 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-29 7,055 7,045 19,06 19,06 134,4683 134,2777 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-30 7,053 7,043 18,92 18,92 133,44276 133,25356 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-03-31 7,065 7,055 19,23 19,23 135,85995 135,66765 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-01 7,07 7,06 19,31 19,31 136,5217 136,3286 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-04 7,113 7,103 19,15 19,15 136,21395 136,02245 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-05 7,163 7,153 19,12 19,12 136,95656 136,76536 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-06 7,125 7,115 19,28 19,28 137,37 137,1772 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-07 7,083 7,073 19,3 19,3 136,7019 136,5089 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-08 7,153 7,143 19,33 19,33 138,26749 138,07419 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-11 7,098 7,088 19,28 19,28 136,84944 136,65664 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-12 7,048 7,038 19,11 19,11 134,68728 134,49618 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-13 7,075 7,065 19,18 19,18 135,6985 135,5067 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-14 7,12 7,11 18,94 18,94 134,8528 134,6634 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-15 7,17 7,16 18,68 18,68 133,9356 133,7488 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-18 7,08 7,07 18,14 18,14 128,4312 128,2498 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-19 7,068 7,058 18,4 18,4 130,0512 129,8672 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-20 7,043 7,033 18,54 18,54 130,57722 130,39182 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-21 7,025 7,015 18,34 18,34 128,8385 128,6551 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-22 7,023 7,013 18,59 18,59 130,55757 130,37167 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-25 7,04 7,03 18,72 18,72 131,7888 131,6016 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-26 7,035 7,025 18,68 18,68 131,4138 131,227 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-27 7,085 7,075 18,57 18,57 131,56845 131,38275 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-28 7,085 7,075 18,66 18,66 132,2061 132,0195 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-04-29 7,08 7,07 18,78 18,78 132,9624 132,7746 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-02 7,15 7,14 18,79 18,79 134,3485 134,1606 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-03 7,178 7,168 18,81 18,81 135,01818 134,83008 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-04 7,11 7,1 18,96 18,96 134,8056 134,616 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-06 7,085 7,075 19,21 19,21 136,10285 135,91075 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-09 7,168 7,158 19,09 19,09 136,83712 136,64622 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-10 7,178 7,168 18,93 18,93 135,87954 135,69024 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-11 7,15 7,14 18,94 18,94 135,421 135,2316 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-12 7,243 7,233 18,71 18,71 135,51653 135,32943 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-13 7,265 7,255 18,41 18,41 133,74865 133,56455 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-17 7,313 7,303 18,04 18,04 131,92652 131,74612 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-18 7,3 7,29 17,97 17,97 131,181 131,0013 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-19 7,26 7,25 18,35 18,35 133,221 133,0375 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-20 7,28 7,27 18,26 18,26 132,9328 132,7502 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-23 7,32 7,31 18,34 18,34 134,2488 134,0654 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-24 7,295 7,285 18,45 18,45 134,59275 134,40825 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-25 7,298 7,288 18,21 18,21 132,89658 132,71448 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-26 7,33 7,32 18,14 18,14 132,9662 132,7848 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-27 7,338 7,328 18,35 18,35 134,6523 134,4688 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-30 7,338 7,328 18,45 18,45 135,3861 135,2016 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-05-31 7,403 7,393 18,4 18,4 136,2152 136,0312 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-01 7,428 7,418 18,39 18,39 136,60092 136,41702 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-02 7,473 7,463 18,53 18,53 138,47469 138,28939 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-03 7,438 7,428 18,63 18,63 138,56994 138,38364 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-07 7,448 7,438 18,71 18,71 139,35208 139,16498 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-08 7,435 7,425 18,82 18,82 139,9267 139,7385 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-09 7,523 7,513 18,58 18,58 139,77734 139,59154 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-10 7,525 7,515 18,7 18,7 140,7175 140,5305 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-13 7,643 7,633 18,35 18,35 140,24905 140,06555 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-14 7,663 7,653 18,43 18,43 141,22909 141,04479 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-15 7,693 7,683 18,51 18,51 142,39743 142,21233 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-16 7,678 7,668 18,6 18,6 142,8108 142,6248 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-17 7,643 7,633 18,84 18,84 143,99412 143,80572 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-20 7,543 7,533 18,85 18,85 142,18555 141,99705 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-21 7,648 7,638 18,68 18,68 142,86464 142,67784 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-22 7,608 7,598 18,85 18,85 143,4108 143,2223 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-27 7,73 7,72 18,6 18,6 143,778 143,592 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-28 7,76 7,75 18,61 18,61 144,4136 144,2275 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-29 7,833 7,823 18,62 18,62 145,85046 145,66426 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-06-30 7,823 7,813 18,61 18,61 145,58603 145,39993 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-01 7,858 7,848 18,65 18,65 146,5517 146,3652 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-04 7,945 7,935 18,59 18,59 147,69755 147,51165 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-05 7,963 7,953 18,47 18,47 147,07661 146,89191 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-06 7,895 7,885 18,48 18,48 145,8996 145,7148 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-07 7,878 7,868 18,49 18,49 145,66422 145,47932 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-08 7,913 7,903 18,28 18,28 144,64964 144,46684 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-11 7,89 7,88 18,46 18,46 145,6494 145,4648 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-12 7,77 7,76 18,65 18,65 144,9105 144,724 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-13 7,703 7,693 18,6 18,6 143,2758 143,0898 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-14 7,76 7,75 18,57 18,57 144,1032 143,9175 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-15 7,76 7,75 18,61 18,61 144,4136 144,2275 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-18 7,78 7,77 18,54 18,54 144,2412 144,0558 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-19 7,878 7,868 18,43 18,43 145,19154 145,00724 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-20 7,818 7,808 18,54 18,54 144,94572 144,76032 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-21 7,775 7,765 18,59 18,59 144,53725 144,35135 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-22 7,758 7,748 18,65 18,65 144,6867 144,5002 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-25 7,838 7,828 18,55 18,55 145,3949 145,2094 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-26 7,818 7,808 18,52 18,52 144,78936 144,60416 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-27 7,905 7,895 18,6 18,6 147,033 146,847 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-28 7,848 7,838 18,65 18,65 146,3652 146,1787 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-07-29 7,748 7,738 18,66 18,66 144,57768 144,39108 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-01 7,72 7,71 18,82 18,82 145,2904 145,1022 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-02 7,7 7,69 18,84 18,84 145,068 144,8796 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-03 7,685 7,675 18,89 18,89 145,16965 144,98075 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-04 7,618 7,608 18,74 18,74 142,76132 142,57392 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-05 7,548 7,538 18,49 18,49 139,56252 139,37762 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-08 7,558 7,548 18,55 18,55 140,2009 140,0154 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-09 7,548 7,538 18,74 18,74 141,44952 141,26212 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-10 7,558 7,548 19,26 19,26 145,56708 145,37448 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-11 7,523 7,513 19,7 19,7 148,2031 148,0061 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-12 7,46 7,45 19,88 19,88 148,3048 148,106 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-16 7,523 7,513 20,02 20,02 150,61046 150,41026 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-17 7,605 7,595 19,88 19,88 151,1874 150,9886 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-18 7,61 7,6 19,83 19,83 150,9063 150,708 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-19 7,698 7,688 19,79 19,79 152,34342 152,14552 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-22 7,69 7,68 20,28 20,28 155,9532 155,7504 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-23 7,663 7,653 20,21 20,21 154,86923 154,66713 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-24 7,673 7,663 20,19 20,19 154,91787 154,71597 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-25 7,588 7,578 20,17 20,17 153,04996 152,84826 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-26 7,578 7,568 20,32 20,32 153,98496 153,78176 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-29 7,573 7,563 19,92 19,92 150,85416 150,65496 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-30 7,633 7,623 19,99 19,99 152,58367 152,38377 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-08-31 7,668 7,658 19,93 19,93 152,82324 152,62394 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-01 7,568 7,558 20,2 20,2 152,8736 152,6716 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-02 7,435 7,425 20,44 20,44 151,9714 151,767 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-05 7,41 7,4 20,67 20,67 153,1647 152,958 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-06 7,485 7,475 20,44 20,44 152,9934 152,789 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-07 7,43 7,42 20,38 20,38 151,4234 151,2196 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-08 7,498 7,488 20,15 20,15 151,0847 150,8832 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-09 7,523 7,513 20,34 20,34 153,01782 152,81442 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-12 7,555 7,545 20,76 20,76 156,8418 156,6342 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-13 7,57 7,56 20,68 20,68 156,5476 156,3408 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-14 7,61 7,6 20,7 20,7 157,527 157,32 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-15 7,658 7,648 20,92 20,92 160,20536 159,99616 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-16 7,613 7,603 20,88 20,88 158,95944 158,75064 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-19 7,698 7,688 20,78 20,78 159,96444 159,75664 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-20 7,688 7,678 21,09 21,09 162,13992 161,92902 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-21 7,663 7,653 21,22 21,22 162,60886 162,39666 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-22 7,648 7,638 21,11 21,11 161,44928 161,23818 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-23 7,733 7,723 21,05 21,05 162,77965 162,56915 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-26 7,798 7,788 21,35 21,35 166,4873 166,2738 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-27 7,825 7,815 21,14 21,14 165,4205 165,2091 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-28 7,81 7,8 21,57 21,57 168,4617 168,246 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-29 7,785 7,775 22,02 22,02 171,4257 171,2055 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-09-30 7,785 7,775 21,77 21,77 169,47945 169,26175 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-03 7,783 7,773 21,59 21,59 168,03497 167,81907 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-04 7,82 7,81 21,68 21,68 169,5376 169,3208 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-05 7,795 7,785 21,61 21,61 168,44995 168,23385 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-06 7,713 7,703 21,03 21,03 162,20439 161,99409 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-07 7,683 7,673 21,16 21,16 162,57228 162,36068 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-10 7,698 7,688 21,06 21,06 162,11988 161,90928 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-11 7,77 7,76 21,55 21,55 167,4435 167,228 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-12 7,805 7,795 21,44 21,44 167,3392 167,1248 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-13 7,83 7,82 21,43 21,43 167,7969 167,5826 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-14 7,833 7,823 21,28 21,28 166,68624 166,47344 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-17 7,835 7,825 21,24 21,24 166,4154 166,203 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-18 7,893 7,883 20,95 20,95 165,35835 165,14885 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-19 7,96 7,95 20,79 20,79 165,4884 165,2805 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-20 7,93 7,92 20,79 20,79 164,8647 164,6568 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-21 7,883 7,873 20,87 20,87 164,51821 164,30951 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-24 7,995 7,985 20,72 20,72 165,6564 165,4492 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-25 7,99 7,98 21,1 21,1 168,589 168,378 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-26 7,868 7,858 21,29 21,29 167,50972 167,29682 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-27 7,868 7,858 21,57 21,57 169,71276 169,49706 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-28 7,825 7,815 21,5 21,5 168,2375 168,0225 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-10-31 7,905 7,895 21,7 21,7 171,5385 171,3215 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-02 7,98 7,97 21,95 21,95 175,161 174,9415 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-03 8,01 8 21,96 21,96 175,8996 175,68 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-04 8,028 8,018 22,1 22,1 177,4188 177,1978 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-07 8,135 8,125 22,12 22,12 179,9462 179,725 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-08 8,17 8,16 22,06 22,06 180,2302 180,0096 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-09 8,12 8,11 22,02 22,02 178,8024 178,5822 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-10 8,173 8,163 21,96 21,96 179,47908 179,25948 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-11 8,235 8,225 22,08 22,08 181,8288 181,608 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-14 8,133 8,123 21,79 21,79 177,21807 177,00017 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-15 8,185 8,175 21,54 21,54 176,3049 176,0895 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-16 8,21 8,2 21,66 21,66 177,8286 177,612 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-17 8,258 8,248 22,19 22,19 183,24502 183,02312 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-18 8,223 8,213 22,44 22,44 184,52412 184,29972 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-21 8,123 8,113 22,47 22,47 182,52381 182,29911 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-22 8,15 8,14 22,34 22,34 182,071 181,8476 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-23 8,048 8,038 22,47 22,47 180,83856 180,61386 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-24 8,053 8,043 22,31 22,31 179,66243 179,43933 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-25 8,078 8,068 22,48 22,48 181,59344 181,36864 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-28 8,118 8,108 22,67 22,67 184,03506 183,80836 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-29 8,015 8,005 22,79 22,79 182,66185 182,43395 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-11-30 8,088 8,078 22,71 22,71 183,67848 183,45138 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-01 8,083 8,073 22,89 22,89 185,01987 184,79097 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-02 8,103 8,093 23,05 23,05 186,77415 186,54365 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-05 8,045 8,035 23,25 23,25 187,04625 186,81375 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-06 7,993 7,983 23,21 23,21 185,51753 185,28543 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-07 8,015 8,005 23,27 23,27 186,50905 186,27635 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-08 7,988 7,978 23 23 183,724 183,494 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-12 7,953 7,943 23,87 23,87 189,83811 189,59941 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-13 7,905 7,895 23,98 23,98 189,5619 189,3221 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-14 7,848 7,838 24,01 24,01 188,43048 188,19038 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-15 7,858 7,848 24,27 24,27 190,71366 190,47096 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-16 7,903 7,893 24,11 24,11 190,54133 190,30023 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-19 7,865 7,855 24,27 24,27 190,88355 190,64085 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-20 7,848 7,838 24,55 24,55 192,6684 192,4229 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-21 7,948 7,938 24,88 24,88 197,74624 197,49744 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-22 7,98 7,97 24,94 24,94 199,0212 198,7718 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-23 7,955 7,945 25,09 25,09 199,59095 199,34005 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-27 8,01 8 25,07 25,07 200,8107 200,56 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-28 7,915 7,905 25,35 25,35 200,64525 200,39175 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-29 7,938 7,928 25,4 25,4 201,6252 201,3712 123612 BlackRock (Channel Islands) Limited MLIIF Japan Fund USD 2005-12-30 7,958 7,948 25,2 25,2 200,5416 200,2896 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-03 6,668 6,658 47,55 47,55 317,0634 316,5879 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-04 6,728 6,718 47,41 47,41 318,97448 318,50038 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-05 6,828 6,818 46,53 46,53 317,70684 317,24154 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-07 6,87 6,86 46,75 46,75 321,1725 320,705 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-10 6,96091 6,95091 46,78 46,78 325,6313698 325,1635698 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-11 6,96091 6,95091 47,54 47,54 330,9216614 330,4462614 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-12 6,913 6,903 47,8 47,8 330,4414 329,9634 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-13 6,843 6,833 48,01 48,01 328,53243 328,05233 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-14 6,915 6,905 48,22 48,22 333,4413 332,9591 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-17 6,915 6,905 49,4 49,4 341,601 341,107 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-18 6,968 6,958 48,29 48,29 336,48472 336,00182 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-19 6,91 6,9 48,56 48,56 335,5496 335,064 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-20 6,96 6,95 47,75 47,75 332,34 331,8625 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-21 6,978 6,968 47,39 47,39 330,68742 330,21352 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-24 6,933 6,923 48,21 48,21 334,23993 333,75783 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-25 6,95 6,94 48 48 333,6 333,12 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-26 6,995 6,985 48,28 48,28 337,7186 337,2358 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-27 6,93 6,92 48,12 48,12 333,4716 332,9904 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-28 6,985 6,975 47,86 47,86 334,3021 333,8235 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-01-31 6,998 6,988 48,17 48,17 337,09366 336,61196 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-01 6,993 6,983 48,31 48,31 337,83183 337,34873 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-02 6,953 6,943 48,92 48,92 340,14076 339,65156 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-03 6,968 6,958 48,59 48,59 338,57512 338,08922 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-04 7,01 7 48,34 48,34 338,8634 338,38 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-07 7,065 7,055 48,65 48,65 343,71225 343,22575 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-08 7,123 7,113 47,99 47,99 341,83277 341,35287 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-09 7,1 7,09 48,24 48,24 342,504 342,0216 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-10 7,088 7,078 48,05 48,05 340,5784 340,0979 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-11 7,068 7,058 48,17 48,17 340,46556 339,98386 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-14 7,03 7,02 48,56 48,56 341,3768 340,8912 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-15 7,005 6,995 48,62 48,62 340,5831 340,0969 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-16 6,973 6,963 48,26 48,26 336,51698 336,03438 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-17 6,97 6,96 48,13 48,13 335,4661 334,9848 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-18 6,965 6,955 48,19 48,19 335,64335 335,16145 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-21 6,978 6,968 48,37 48,37 337,52586 337,04216 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-22 6,905 6,895 48,95 48,95 337,99975 337,51025 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-23 6,895 6,885 48,5 48,5 334,4075 333,9225 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-24 6,858 6,848 48,79 48,79 334,60182 334,11392 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-25 6,885 6,875 48,88 48,88 336,5388 336,05 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-02-28 6,828 6,818 49,79 49,79 339,96612 339,46822 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-01 6,87 6,86 49,93 49,93 343,0191 342,5198 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-02 6,888 6,878 49,88 49,88 343,57344 343,07464 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-03 6,903 6,893 49,8 49,8 343,7694 343,2714 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-04 6,9 6,89 49,65 49,65 342,585 342,0885 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-07 6,84 6,83 49,9 49,9 341,316 340,817 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-08 6,825 6,815 49,69 49,69 339,13425 338,63735 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-09 6,76 6,75 50,22 50,22 339,4872 338,985 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-10 6,745 6,735 49,97 49,97 337,04765 336,54795 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-11 6,765 6,755 50,04 50,04 338,5206 338,0202 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-14 6,76 6,75 49,62 49,62 335,4312 334,935 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-15 6,815 6,805 49,89 49,89 340,00035 339,50145 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-16 6,81 6,8 49,98 49,98 340,3638 339,864 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-17 6,795 6,785 49,77 49,77 338,18715 337,68945 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-18 6,828 6,818 50,03 50,03 341,60484 341,10454 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-21 6,908 6,898 49,78 49,78 343,88024 343,38244 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-22 6,928 6,918 50,09 50,09 347,02352 346,52262 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-23 6,973 6,963 49,54 49,54 345,44242 344,94702 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-24 7,008 6,998 49,18 49,18 344,65344 344,16164 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-29 7,055 7,045 48,73 48,73 343,79015 343,30285 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-30 7,053 7,043 48,27 48,27 340,44831 339,96561 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-03-31 7,065 7,055 49,19 49,19 347,52735 347,03545 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-01 7,07 7,06 48,93 48,93 345,9351 345,4458 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-04 7,113 7,103 48,4 48,4 344,2692 343,7852 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-05 7,163 7,153 48,24 48,24 345,54312 345,06072 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-06 7,125 7,115 48,46 48,46 345,2775 344,7929 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-07 7,083 7,073 48,55 48,55 343,87965 343,39415 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-08 7,153 7,143 48,62 48,62 347,77886 347,29266 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-11 7,098 7,088 48,48 48,48 344,11104 343,62624 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-12 7,048 7,038 48,05 48,05 338,6564 338,1759 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-13 7,075 7,065 48,25 48,25 341,36875 340,88625 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-14 7,12 7,11 47,71 47,71 339,6952 339,2181 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-15 7,17 7,16 46,9 46,9 336,273 335,804 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-18 7,08 7,07 45,6 45,6 322,848 322,392 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-19 7,068 7,058 46,36 46,36 327,67248 327,20888 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-20 7,043 7,033 47,21 47,21 332,50003 332,02793 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-21 7,025 7,015 46,73 46,73 328,27825 327,81095 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-22 7,023 7,013 47,96 47,96 336,82308 336,34348 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-25 7,04 7,03 47,96 47,96 337,6384 337,1588 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-26 7,035 7,025 47,83 47,83 336,48405 336,00575 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-27 7,085 7,075 47,71 47,71 338,02535 337,54825 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-28 7,085 7,075 48 48 340,08 339,6 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-04-29 7,08 7,07 48,29 48,29 341,8932 341,4103 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-02 7,15 7,14 48,28 48,28 345,202 344,7192 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-03 7,178 7,168 48,35 48,35 347,0563 346,5728 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-04 7,11 7,1 48,7 48,7 346,257 345,77 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-06 7,085 7,075 49,08 49,08 347,7318 347,241 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-09 7,168 7,158 48,96 48,96 350,94528 350,45568 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-10 7,178 7,168 48,82 48,82 350,42996 349,94176 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-11 7,15 7,14 48,87 48,87 349,4205 348,9318 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-12 7,243 7,233 48,13 48,13 348,60559 348,12429 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-13 7,265 7,255 47,47 47,47 344,86955 344,39485 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-17 7,313 7,303 46,11 46,11 337,20243 336,74133 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-18 7,3 7,29 46,26 46,26 337,698 337,2354 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-19 7,26 7,25 46,94 46,94 340,7844 340,315 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-20 7,28 7,27 46,54 46,54 338,8112 338,3458 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-23 7,32 7,31 46,78 46,78 342,4296 341,9618 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-24 7,295 7,285 47,08 47,08 343,4486 342,9778 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-25 7,298 7,288 46,16 46,16 336,87568 336,41408 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-26 7,33 7,32 45,68 45,68 334,8344 334,3776 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-27 7,338 7,328 45,53 45,53 334,09914 333,64384 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-30 7,338 7,328 46,05 46,05 337,9149 337,4544 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-05-31 7,403 7,393 46,41 46,41 343,57323 343,10913 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-01 7,428 7,418 46,41 46,41 344,73348 344,26938 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-02 7,473 7,463 46,53 46,53 347,71869 347,25339 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-03 7,438 7,428 46,96 46,96 349,28848 348,81888 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-07 7,448 7,438 47,14 47,14 351,09872 350,62732 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-08 7,435 7,425 47,29 47,29 351,60115 351,12825 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-09 7,523 7,513 46,75 46,75 351,70025 351,23275 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-10 7,525 7,515 46,99 46,99 353,59975 353,12985 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-13 7,643 7,633 46,28 46,28 353,71804 353,25524 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-14 7,663 7,653 46,17 46,17 353,80071 353,33901 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-15 7,693 7,683 46,54 46,54 358,03222 357,56682 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-16 7,678 7,668 46,87 46,87 359,86786 359,39916 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-17 7,643 7,633 47,42 47,42 362,43106 361,95686 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-20 7,543 7,533 47,63 47,63 359,27309 358,79679 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-21 7,648 7,638 47,41 47,41 362,59168 362,11758 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-22 7,608 7,598 47,52 47,52 361,53216 361,05696 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-27 7,73 7,72 47,05 47,05 363,6965 363,226 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-28 7,76 7,75 47,39 47,39 367,7464 367,2725 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-29 7,833 7,823 47,35 47,35 370,89255 370,41905 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-06-30 7,823 7,813 47,26 47,26 369,71498 369,24238 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-01 7,858 7,848 47,2 47,2 370,8976 370,4256 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-04 7,945 7,935 47,14 47,14 374,5273 374,0559 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-05 7,963 7,953 46,96 46,96 373,94248 373,47288 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-06 7,895 7,885 46,95 46,95 370,67025 370,20075 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-07 7,878 7,868 46,95 46,95 369,8721 369,4026 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-08 7,913 7,903 46,39 46,39 367,08407 366,62017 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-11 7,89 7,88 46,64 46,64 367,9896 367,5232 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-12 7,77 7,76 47,17 47,17 366,5109 366,0392 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-13 7,703 7,693 47,04 47,04 362,34912 361,87872 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-14 7,76 7,75 47,08 47,08 365,3408 364,87 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-15 7,76 7,75 47,34 47,34 367,3584 366,885 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-18 7,78 7,77 47,17 47,17 366,9826 366,5109 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-19 7,878 7,868 47,24 47,24 372,15672 371,68432 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-20 7,818 7,808 47,62 47,62 372,29316 371,81696 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-21 7,775 7,765 47,79 47,79 371,56725 371,08935 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-22 7,758 7,748 48,01 48,01 372,46158 371,98148 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-25 7,838 7,828 48,03 48,03 376,45914 375,97884 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-26 7,818 7,808 48,01 48,01 375,34218 374,86208 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-27 7,905 7,895 48,22 48,22 381,1791 380,6969 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-28 7,848 7,838 48,43 48,43 380,07864 379,59434 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-07-29 7,748 7,738 48,85 48,85 378,4898 378,0013 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-01 7,72 7,71 49,28 49,28 380,4416 379,9488 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-02 7,7 7,69 49,14 49,14 378,378 377,8866 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-03 7,685 7,675 49,1 49,1 377,3335 376,8425 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-04 7,618 7,608 48,67 48,67 370,76806 370,28136 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-05 7,548 7,538 47,84 47,84 361,09632 360,61792 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-08 7,558 7,548 47,8 47,8 361,2724 360,7944 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-09 7,548 7,538 48,27 48,27 364,34196 363,85926 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-10 7,558 7,548 49,28 49,28 372,45824 371,96544 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-11 7,523 7,513 50 50 376,15 375,65 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-12 7,46 7,45 50,18 50,18 374,3428 373,841 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-16 7,523 7,513 50,91 50,91 382,99593 382,48683 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-17 7,605 7,595 50,72 50,72 385,7256 385,2184 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-18 7,61 7,6 50,48 50,48 384,1528 383,648 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-19 7,698 7,688 50,31 50,31 387,28638 386,78328 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-22 7,69 7,68 51,15 51,15 393,3435 392,832 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-23 7,663 7,653 51,03 51,03 391,04289 390,53259 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-24 7,673 7,663 50,81 50,81 389,86513 389,35703 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-25 7,588 7,578 50,8 50,8 385,4704 384,9624 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-26 7,578 7,568 50,85 50,85 385,3413 384,8328 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-29 7,573 7,563 50,17 50,17 379,93741 379,43571 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-30 7,633 7,623 50,27 50,27 383,71091 383,20821 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-08-31 7,668 7,658 50,26 50,26 385,39368 384,89108 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-01 7,568 7,558 51,09 51,09 386,64912 386,13822 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-02 7,435 7,425 51,82 51,82 385,2817 384,7635 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-05 7,41 7,4 52,17 52,17 386,5797 386,058 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-06 7,485 7,475 51,93 51,93 388,69605 388,17675 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-07 7,43 7,42 51,89 51,89 385,5427 385,0238 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-08 7,498 7,488 51,37 51,37 385,17226 384,65856 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-09 7,523 7,513 51,7 51,7 388,9391 388,4221 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-12 7,555 7,545 52,46 52,46 396,3353 395,8107 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-13 7,57 7,56 52,03 52,03 393,8671 393,3468 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-14 7,61 7,6 52,59 52,59 400,2099 399,684 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-15 7,658 7,648 53,3 53,3 408,1714 407,6384 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-16 7,613 7,603 53,12 53,12 404,40256 403,87136 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-19 7,698 7,688 52,89 52,89 407,14722 406,61832 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-20 7,688 7,678 53,35 53,35 410,1548 409,6213 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-21 7,663 7,653 53,04 53,04 406,44552 405,91512 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-22 7,648 7,638 53,1 53,1 406,1088 405,5778 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-23 7,733 7,723 52,96 52,96 409,53968 409,01008 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-26 7,798 7,788 53,61 53,61 418,05078 417,51468 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-27 7,825 7,815 53,19 53,19 416,21175 415,67985 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-28 7,81 7,8 53,81 53,81 420,2561 419,718 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-29 7,785 7,775 54,44 54,44 423,8154 423,271 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-09-30 7,785 7,775 54,56 54,56 424,7496 424,204 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-03 7,783 7,773 54 54 420,282 419,742 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-04 7,82 7,81 54,2 54,2 423,844 423,302 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-05 7,795 7,785 53,42 53,42 416,4089 415,8747 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-06 7,713 7,703 52,83 52,83 407,47779 406,94949 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-07 7,683 7,673 53 53 407,199 406,669 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-10 7,698 7,688 52,77 52,77 406,22346 405,69576 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-11 7,77 7,76 53,25 53,25 413,7525 413,22 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-12 7,805 7,795 53,14 53,14 414,7577 414,2263 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-13 7,83 7,82 52,75 52,75 413,0325 412,505 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-14 7,833 7,823 52,6 52,6 412,0158 411,4898 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-17 7,835 7,825 52,78 52,78 413,5313 413,0035 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-18 7,893 7,883 52,14 52,14 411,54102 411,01962 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-19 7,96 7,95 52,1 52,1 414,716 414,195 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-20 7,93 7,92 52,29 52,29 414,6597 414,1368 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-21 7,883 7,873 52,14 52,14 411,01962 410,49822 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-24 7,995 7,985 51,86 51,86 414,6207 414,1021 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-25 7,99 7,98 52,5 52,5 419,475 418,95 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-26 7,868 7,858 53,16 53,16 418,26288 417,73128 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-27 7,868 7,858 53,91 53,91 424,16388 423,62478 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-28 7,825 7,815 53,97 53,97 422,31525 421,77555 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-10-31 7,905 7,895 54,6 54,6 431,613 431,067 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-02 7,98 7,97 54,76 54,76 436,9848 436,4372 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-03 8,01 8 54,78 54,78 438,7878 438,24 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-04 8,028 8,018 55,23 55,23 443,38644 442,83414 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-07 8,135 8,125 55,27 55,27 449,62145 449,06875 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-08 8,17 8,16 54,93 54,93 448,7781 448,2288 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-09 8,12 8,11 54,56 54,56 443,0272 442,4816 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-10 8,173 8,163 54,41 54,41 444,69293 444,14883 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-11 8,235 8,225 55,06 55,06 453,4191 452,8685 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-14 8,133 8,123 54,57 54,57 443,81781 443,27211 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-15 8,185 8,175 53,92 53,92 441,3352 440,796 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-16 8,21 8,2 53,95 53,95 442,9295 442,39 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-17 8,258 8,248 54,97 54,97 453,94226 453,39256 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-18 8,223 8,213 55,39 55,39 455,47197 454,91807 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-21 8,123 8,113 55,09 55,09 447,49607 446,94517 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-22 8,15 8,14 55,39 55,39 451,4285 450,8746 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-23 8,048 8,038 55,69 55,69 448,19312 447,63622 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-24 8,053 8,043 55,2 55,2 444,5256 443,9736 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-25 8,078 8,068 55,35 55,35 447,1173 446,5638 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-28 8,118 8,108 56,12 56,12 455,58216 455,02096 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-29 8,015 8,005 57,06 57,06 457,3359 456,7653 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-11-30 8,088 8,078 57,06 57,06 461,50128 460,93068 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-01 8,083 8,073 57,64 57,64 465,90412 465,32772 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-02 8,103 8,093 58,36 58,36 472,89108 472,30748 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-05 8,045 8,035 59,42 59,42 478,0339 477,4397 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-06 7,993 7,983 59,12 59,12 472,54616 471,95496 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-07 8,015 8,005 59,45 59,45 476,49175 475,89725 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-08 7,988 7,978 59,17 59,17 472,64996 472,05826 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-12 7,953 7,943 60,69 60,69 482,66757 482,06067 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-13 7,905 7,895 61 61 482,205 481,595 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-14 7,848 7,838 61,55 61,55 483,0444 482,4289 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-15 7,858 7,848 62,26 62,26 489,23908 488,61648 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-16 7,903 7,893 61,98 61,98 489,82794 489,20814 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-19 7,865 7,855 62,39 62,39 490,69735 490,07345 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-20 7,848 7,838 63,22 63,22 496,15056 495,51836 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-21 7,948 7,938 63,52 63,52 504,85696 504,22176 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-22 7,98 7,97 63,64 63,64 507,8472 507,2108 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-23 7,955 7,945 64,01 64,01 509,19955 508,55945 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-27 8,01 8 64,47 64,47 516,4047 515,76 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-28 7,915 7,905 65,03 65,03 514,71245 514,06215 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-29 7,938 7,928 65,18 65,18 517,39884 516,74704 159442 BlackRock (Channel Islands) Limited MLIIF Japan Opportunities Fund USD 2005-12-30 7,958 7,948 65,15 65,15 518,4637 517,8122 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-14 7,848 7,838 12,08 12,08 94,80384 94,68304 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-15 7,858 7,848 12,23 12,23 96,10334 95,98104 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-16 7,903 7,893 12,17 12,17 96,17951 96,05781 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-19 7,865 7,855 12,21 12,21 96,03165 95,90955 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-20 7,848 7,838 12,35 12,35 96,9228 96,7993 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-21 7,948 7,938 12,46 12,46 99,03208 98,90748 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-22 7,98 7,97 12,38 12,38 98,7924 98,6686 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-23 7,955 7,945 12,45 12,45 99,03975 98,91525 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-27 8,01 8 12,4 12,4 99,324 99,2 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-28 7,915 7,905 12,5 12,5 98,9375 98,8125 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-29 7,938 7,928 12,49 12,49 99,14562 99,02072 299693 BlackRock (Channel Islands) Limited MLIIF Japan Value Fund USD 2005-12-30 7,958 7,948 12,42 12,42 98,83836 98,71416 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-03 6,668 6,658 27,77 27,77 185,17036 184,89266 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-04 6,728 6,718 27,19 27,19 182,93432 182,66242 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-05 6,828 6,818 26,34 26,34 179,84952 179,58612 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-07 6,87 6,86 26,35 26,35 181,0245 180,761 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-10 6,96091 6,95091 26,26 26,26 182,7934966 182,5308966 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-11 6,96091 6,95091 25,77 25,77 179,3826507 179,1249507 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-12 6,913 6,903 25,53 25,53 176,48889 176,23359 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-13 6,843 6,833 26,28 26,28 179,83404 179,57124 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-14 6,915 6,905 26,53 26,53 183,45495 183,18965 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-17 6,915 6,905 26,9 26,9 186,0135 185,7445 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-18 6,968 6,958 26,46 26,46 184,37328 184,10868 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-19 6,91 6,9 26,5 26,5 183,115 182,85 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-20 6,96 6,95 26,16 26,16 182,0736 181,812 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-21 6,978 6,968 26,19 26,19 182,75382 182,49192 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-24 6,933 6,923 26,49 26,49 183,65517 183,39027 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-25 6,95 6,94 26,7 26,7 185,565 185,298 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-26 6,995 6,985 26,49 26,49 185,29755 185,03265 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-27 6,93 6,92 26,7 26,7 185,031 184,764 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-28 6,985 6,975 26,67 26,67 186,28995 186,02325 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-01-31 6,998 6,988 27,15 27,15 189,9957 189,7242 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-01 6,993 6,983 27,5 27,5 192,3075 192,0325 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-02 6,953 6,943 27,81 27,81 193,36293 193,08483 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-03 6,968 6,958 28,14 28,14 196,07952 195,79812 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-04 7,01 7 28,63 28,63 200,6963 200,41 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-07 7,065 7,055 28,89 28,89 204,10785 203,81895 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-08 7,123 7,113 28,94 28,94 206,13962 205,85022 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-09 7,1 7,09 28,94 28,94 205,474 205,1846 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-10 7,088 7,078 29,29 29,29 207,60752 207,31462 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-11 7,068 7,058 29,3 29,3 207,0924 206,7994 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-14 7,03 7,02 29,82 29,82 209,6346 209,3364 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-15 7,005 6,995 29,49 29,49 206,57745 206,28255 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-16 6,973 6,963 29,78 29,78 207,65594 207,35814 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-17 6,97 6,96 29,8 29,8 207,706 207,408 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-18 6,965 6,955 29,9 29,9 208,2535 207,9545 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-21 6,978 6,968 29,81 29,81 208,01418 207,71608 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-22 6,905 6,895 30,37 30,37 209,70485 209,40115 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-23 6,895 6,885 30,17 30,17 208,02215 207,72045 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-24 6,858 6,848 30,68 30,68 210,40344 210,09664 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-25 6,885 6,875 31,18 31,18 214,6743 214,3625 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-02-28 6,828 6,818 31,53 31,53 215,28684 214,97154 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-01 6,87 6,86 31,21 31,21 214,4127 214,1006 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-02 6,888 6,878 30,82 30,82 212,28816 211,97996 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-03 6,903 6,893 31,07 31,07 214,47621 214,16551 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-04 6,9 6,89 31,11 31,11 214,659 214,3479 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-07 6,84 6,83 31,89 31,89 218,1276 217,8087 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-08 6,825 6,815 31,51 31,51 215,05575 214,74065 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-09 6,76 6,75 30,77 30,77 208,0052 207,6975 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-10 6,745 6,735 30,22 30,22 203,8339 203,5317 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-11 6,765 6,755 30,25 30,25 204,64125 204,33875 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-14 6,76 6,75 29,45 29,45 199,082 198,7875 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-15 6,815 6,805 28,91 28,91 197,02165 196,73255 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-16 6,81 6,8 28,63 28,63 194,9703 194,684 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-17 6,795 6,785 28,43 28,43 193,18185 192,89755 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-18 6,828 6,818 28,91 28,91 197,39748 197,10838 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-21 6,908 6,898 28,98 28,98 200,19384 199,90404 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-22 6,928 6,918 28,96 28,96 200,63488 200,34528 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-23 6,973 6,963 27,78 27,78 193,70994 193,43214 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-24 7,008 6,998 28,15 28,15 197,2752 196,9937 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-29 7,055 7,045 27,87 27,87 196,62285 196,34415 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-30 7,053 7,043 27,59 27,59 194,59227 194,31637 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-03-31 7,065 7,055 28,36 28,36 200,3634 200,0798 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-01 7,07 7,06 28,94 28,94 204,6058 204,3164 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-04 7,113 7,103 28,67 28,67 203,92971 203,64301 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-05 7,163 7,153 28,64 28,64 205,14832 204,86192 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-06 7,125 7,115 28,23 28,23 201,13875 200,85645 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-07 7,083 7,073 27,99 27,99 198,25317 197,97327 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-08 7,153 7,143 28,44 28,44 203,43132 203,14692 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-11 7,098 7,088 28,42 28,42 201,72516 201,44096 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-12 7,048 7,038 28,37 28,37 199,95176 199,66806 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-13 7,075 7,065 28,69 28,69 202,98175 202,69485 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-14 7,12 7,11 28,29 28,29 201,4248 201,1419 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-15 7,17 7,16 27,43 27,43 196,6731 196,3988 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-18 7,08 7,07 26,76 26,76 189,4608 189,1932 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-19 7,068 7,058 27,55 27,55 194,7234 194,4479 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-20 7,043 7,033 27,87 27,87 196,28841 196,00971 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-21 7,025 7,015 27,78 27,78 195,1545 194,8767 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-22 7,023 7,013 27,93 27,93 196,15239 195,87309 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-25 7,04 7,03 27,99 27,99 197,0496 196,7697 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-26 7,035 7,025 28,74 28,74 202,1859 201,8985 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-27 7,085 7,075 28,19 28,19 199,72615 199,44425 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-28 7,085 7,075 27,97 27,97 198,16745 197,88775 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-04-29 7,08 7,07 27,65 27,65 195,762 195,4855 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-02 7,15 7,14 27,86 27,86 199,199 198,9204 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-03 7,178 7,168 28,02 28,02 201,12756 200,84736 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-04 7,11 7,1 28,3 28,3 201,213 200,93 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-06 7,085 7,075 29,43 29,43 208,51155 208,21725 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-09 7,168 7,158 29,37 29,37 210,52416 210,23046 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-10 7,178 7,168 28,98 28,98 208,01844 207,72864 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-11 7,15 7,14 28,34 28,34 202,631 202,3476 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-12 7,243 7,233 28,44 28,44 205,99092 205,70652 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-13 7,265 7,255 27,81 27,81 202,03965 201,76155 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-17 7,313 7,303 27,97 27,97 204,54461 204,26491 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-18 7,3 7,29 28,44 28,44 207,612 207,3276 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-19 7,26 7,25 28,86 28,86 209,5236 209,235 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-20 7,28 7,27 28,8 28,8 209,664 209,376 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-23 7,32 7,31 28,5 28,5 208,62 208,335 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-24 7,295 7,285 28,78 28,78 209,9501 209,6623 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-25 7,298 7,288 29,11 29,11 212,44478 212,15368 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-26 7,33 7,32 29,27 29,27 214,5491 214,2564 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-27 7,338 7,328 29,54 29,54 216,76452 216,46912 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-30 7,338 7,328 29,91 29,91 219,47958 219,18048 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-05-31 7,403 7,393 29,96 29,96 221,79388 221,49428 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-01 7,428 7,418 30,14 30,14 223,87992 223,57852 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-02 7,473 7,463 30,63 30,63 228,89799 228,59169 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-03 7,438 7,428 30,87 30,87 229,61106 229,30236 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-07 7,448 7,438 30,07 30,07 223,96136 223,66066 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-08 7,435 7,425 29,82 29,82 221,7117 221,4135 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-09 7,523 7,513 29,33 29,33 220,64959 220,35629 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-10 7,525 7,515 29,82 29,82 224,3955 224,0973 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-13 7,643 7,633 29,75 29,75 227,37925 227,08175 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-14 7,663 7,653 29,89 29,89 229,04707 228,74817 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-15 7,693 7,683 30,15 30,15 231,94395 231,64245 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-16 7,678 7,668 30,71 30,71 235,79138 235,48428 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-17 7,643 7,633 31,32 31,32 239,37876 239,06556 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-20 7,543 7,533 31,16 31,16 235,03988 234,72828 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-21 7,648 7,638 31,3 31,3 239,3824 239,0694 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-22 7,608 7,598 31,19 31,19 237,29352 236,98162 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-27 7,73 7,72 30,47 30,47 235,5331 235,2284 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-28 7,76 7,75 31,1 31,1 241,336 241,025 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-29 7,833 7,823 31,28 31,28 245,01624 244,70344 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-06-30 7,823 7,813 31,28 31,28 244,70344 244,39064 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-01 7,858 7,848 31,36 31,36 246,42688 246,11328 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-04 7,945 7,935 31,48 31,48 250,1086 249,7938 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-05 7,963 7,953 31,26 31,26 248,92338 248,61078 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-06 7,895 7,885 31,29 31,29 247,03455 246,72165 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-07 7,878 7,868 30,79 30,79 242,56362 242,25572 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-08 7,913 7,903 31,43 31,43 248,70559 248,39129 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-11 7,89 7,88 31,68 31,68 249,9552 249,6384 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-12 7,77 7,76 32,03 32,03 248,8731 248,5528 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-13 7,703 7,693 32,33 32,33 249,03799 248,71469 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-14 7,76 7,75 32,47 32,47 251,9672 251,6425 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-15 7,76 7,75 32,46 32,46 251,8896 251,565 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-18 7,78 7,77 32,01 32,01 249,0378 248,7177 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-19 7,878 7,868 32,03 32,03 252,33234 252,01204 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-20 7,818 7,808 32,63 32,63 255,10134 254,77504 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-21 7,775 7,765 32,94 32,94 256,1085 255,7791 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-22 7,758 7,748 32,68 32,68 253,53144 253,20464 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-25 7,838 7,828 31,91 31,91 250,11058 249,79148 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-26 7,818 7,808 31,12 31,12 243,29616 242,98496 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-27 7,905 7,895 32,04 32,04 253,2762 252,9558 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-28 7,848 7,838 32,37 32,37 254,03976 253,71606 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-07-29 7,748 7,738 33,42 33,42 258,93816 258,60396 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-01 7,72 7,71 33,76 33,76 260,6272 260,2896 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-02 7,7 7,69 34,32 34,32 264,264 263,9208 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-03 7,685 7,675 34,61 34,61 265,97785 265,63175 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-04 7,618 7,608 34,61 34,61 263,65898 263,31288 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-05 7,548 7,538 34,88 34,88 263,27424 262,92544 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-08 7,558 7,548 34,93 34,93 264,00094 263,65164 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-09 7,548 7,538 34,68 34,68 261,76464 261,41784 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-10 7,558 7,548 35,4 35,4 267,5532 267,1992 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-11 7,523 7,513 35,89 35,89 270,00047 269,64157 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-12 7,46 7,45 34,57 34,57 257,8922 257,5465 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-16 7,523 7,513 35,13 35,13 264,28299 263,93169 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-17 7,605 7,595 34,65 34,65 263,51325 263,16675 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-18 7,61 7,6 34,64 34,64 263,6104 263,264 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-19 7,698 7,688 34,34 34,34 264,34932 264,00592 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-22 7,69 7,68 34,06 34,06 261,9214 261,5808 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-23 7,663 7,653 34,66 34,66 265,59958 265,25298 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-24 7,673 7,663 33,83 33,83 259,57759 259,23929 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-25 7,588 7,578 33,71 33,71 255,79148 255,45438 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-26 7,578 7,568 34,3 34,3 259,9254 259,5824 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-29 7,573 7,563 34,06 34,06 257,93638 257,59578 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-30 7,633 7,623 34,45 34,45 262,95685 262,61235 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-08-31 7,668 7,658 34,62 34,62 265,46616 265,11996 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-01 7,568 7,558 35,31 35,31 267,22608 266,87298 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-02 7,435 7,425 35,55 35,55 264,31425 263,95875 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-05 7,41 7,4 36 36 266,76 266,4 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-06 7,485 7,475 36,33 36,33 271,93005 271,56675 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-07 7,43 7,42 36,56 36,56 271,6408 271,2752 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-08 7,498 7,488 36,63 36,63 274,65174 274,28544 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-09 7,523 7,513 36,81 36,81 276,92163 276,55353 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-12 7,555 7,545 37,16 37,16 280,7438 280,3722 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-13 7,57 7,56 36,73 36,73 278,0461 277,6788 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-14 7,61 7,6 36,57 36,57 278,2977 277,932 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-15 7,658 7,648 37,11 37,11 284,18838 283,81728 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-16 7,613 7,603 37,68 37,68 286,85784 286,48104 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-19 7,698 7,688 38,09 38,09 293,21682 292,83592 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-20 7,688 7,678 38,3 38,3 294,4504 294,0674 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-21 7,663 7,653 38,31 38,31 293,56953 293,18643 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-22 7,648 7,638 38,82 38,82 296,89536 296,50716 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-23 7,733 7,723 38,88 38,88 300,65904 300,27024 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-26 7,798 7,788 38,99 38,99 304,04402 303,65412 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-27 7,825 7,815 39,22 39,22 306,8965 306,5043 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-28 7,81 7,8 39,61 39,61 309,3541 308,958 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-29 7,785 7,775 39,58 39,58 308,1303 307,7345 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-09-30 7,785 7,775 40,01 40,01 311,47785 311,07775 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-03 7,783 7,773 40,55 40,55 315,60065 315,19515 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-04 7,82 7,81 40,75 40,75 318,665 318,2575 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-05 7,795 7,785 39,34 39,34 306,6553 306,2619 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-06 7,713 7,703 38,12 38,12 294,01956 293,63836 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-07 7,683 7,673 37,76 37,76 290,11008 289,73248 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-10 7,698 7,688 38,54 38,54 296,68092 296,29552 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-11 7,77 7,76 38,87 38,87 302,0199 301,6312 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-12 7,805 7,795 38,59 38,59 301,19495 300,80905 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-13 7,83 7,82 37,18 37,18 291,1194 290,7476 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-14 7,833 7,823 36,99 36,99 289,74267 289,37277 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-17 7,835 7,825 37,64 37,64 294,9094 294,533 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-18 7,893 7,883 37,83 37,83 298,59219 298,21389 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-19 7,96 7,95 36,47 36,47 290,3012 289,9365 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-20 7,93 7,92 37,38 37,38 296,4234 296,0496 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-21 7,883 7,873 36,46 36,46 287,41418 287,04958 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-24 7,995 7,985 37,14 37,14 296,9343 296,5629 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-25 7,99 7,98 37,79 37,79 301,9421 301,5642 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-26 7,868 7,858 37,57 37,57 295,60076 295,22506 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-27 7,868 7,858 37,42 37,42 294,42056 294,04636 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-28 7,825 7,815 37,34 37,34 292,1855 291,8121 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-10-31 7,905 7,895 38,45 38,45 303,94725 303,56275 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-02 7,98 7,97 39,48 39,48 315,0504 314,6556 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-03 8,01 8 40,28 40,28 322,6428 322,24 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-04 8,028 8,018 39,87 39,87 320,07636 319,67766 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-07 8,135 8,125 39,89 39,89 324,50515 324,10625 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-08 8,17 8,16 39,74 39,74 324,6758 324,2784 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-09 8,12 8,11 40,16 40,16 326,0992 325,6976 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-10 8,173 8,163 40,19 40,19 328,47287 328,07097 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-11 8,235 8,225 40,36 40,36 332,3646 331,961 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-14 8,133 8,123 40,19 40,19 326,86527 326,46337 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-15 8,185 8,175 40,25 40,25 329,44625 329,04375 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-16 8,21 8,2 40,23 40,23 330,2883 329,886 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-17 8,258 8,248 41,23 41,23 340,47734 340,06504 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-18 8,223 8,213 41,31 41,31 339,69213 339,27903 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-21 8,123 8,113 41,34 41,34 335,80482 335,39142 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-22 8,15 8,14 40,84 40,84 332,846 332,4376 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-23 8,048 8,038 42,16 42,16 339,30368 338,88208 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-24 8,053 8,043 42,11 42,11 339,11183 338,69073 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-25 8,078 8,068 42,17 42,17 340,64926 340,22756 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-28 8,118 8,108 42,7 42,7 346,6386 346,2116 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-29 8,015 8,005 42,38 42,38 339,6757 339,2519 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-11-30 8,088 8,078 41,93 41,93 339,12984 338,71054 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-01 8,083 8,073 42,69 42,69 345,06327 344,63637 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-02 8,103 8,093 43,35 43,35 351,26505 350,83155 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-05 8,045 8,035 43,35 43,35 348,75075 348,31725 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-06 7,993 7,983 43,92 43,92 351,05256 350,61336 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-07 8,015 8,005 44,22 44,22 354,4233 353,9811 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-08 7,988 7,978 43,03 43,03 343,72364 343,29334 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-12 7,953 7,943 42,76 42,76 340,07028 339,64268 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-13 7,905 7,895 42,69 42,69 337,46445 337,03755 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-14 7,848 7,838 43,08 43,08 338,09184 337,66104 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-15 7,858 7,848 42,78 42,78 336,16524 335,73744 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-16 7,903 7,893 42,33 42,33 334,53399 334,11069 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-19 7,865 7,855 41,88 41,88 329,3862 328,9674 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-20 7,848 7,838 41,69 41,69 327,18312 326,76622 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-21 7,948 7,938 42,65 42,65 338,9822 338,5557 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-22 7,98 7,97 42,8 42,8 341,544 341,116 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-23 7,955 7,945 42,5 42,5 338,0875 337,6625 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-27 8,01 8 42,44 42,44 339,9444 339,52 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-28 7,915 7,905 42,28 42,28 334,6462 334,2234 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-29 7,938 7,928 42,2 42,2 334,9836 334,5616 661066 BlackRock (Channel Islands) Limited MLIIF Latin American Fund USD 2005-12-30 7,958 7,948 42,54 42,54 338,53332 338,10792 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-03 6,668 6,658 6,46 6,46 43,07528 43,01068 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-04 6,728 6,718 6,39 6,39 42,99192 42,92802 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-05 6,828 6,818 6,31 6,31 43,08468 43,02158 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-07 6,87 6,86 6,17 6,17 42,3879 42,3262 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-10 6,96091 6,95091 6,07 6,07 42,2527237 42,1920237 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-11 6,96091 6,95091 6,08 6,08 42,3223328 42,2615328 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-12 6,913 6,903 5,97 5,97 41,27061 41,21091 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-13 6,843 6,833 6,09 6,09 41,67387 41,61297 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-14 6,915 6,905 6,04 6,04 41,7666 41,7062 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-17 6,915 6,905 6,16 6,16 42,5964 42,5348 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-18 6,968 6,958 6,15 6,15 42,8532 42,7917 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-19 6,91 6,9 6,22 6,22 42,9802 42,918 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-20 6,96 6,95 6,13 6,13 42,6648 42,6035 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-21 6,978 6,968 6,15 6,15 42,9147 42,8532 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-24 6,933 6,923 6,21 6,21 43,05393 42,99183 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-25 6,95 6,94 6,22 6,22 43,229 43,1668 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-26 6,995 6,985 6,19 6,19 43,29905 43,23715 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-27 6,93 6,92 6,21 6,21 43,0353 42,9732 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-28 6,985 6,975 6,16 6,16 43,0276 42,966 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-01-31 6,998 6,988 6,17 6,17 43,17766 43,11596 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-01 6,993 6,983 6,24 6,24 43,63632 43,57392 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-02 6,953 6,943 6,28 6,28 43,66484 43,60204 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-03 6,968 6,958 6,32 6,32 44,03776 43,97456 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-04 7,01 7 6,31 6,31 44,2331 44,17 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-07 7,065 7,055 6,23 6,23 44,01495 43,95265 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-08 7,123 7,113 6,27 6,27 44,66121 44,59851 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-09 7,1 7,09 6,29 6,29 44,659 44,5961 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-10 7,088 7,078 6,24 6,24 44,22912 44,16672 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-11 7,068 7,058 6,21 6,21 43,89228 43,83018 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-14 7,03 7,02 6,19 6,19 43,5157 43,4538 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-15 7,005 6,995 6,17 6,17 43,22085 43,15915 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-16 6,973 6,963 6,22 6,22 43,37206 43,30986 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-17 6,97 6,96 6,46 6,46 45,0262 44,9616 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-18 6,965 6,955 6,5 6,5 45,2725 45,2075 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-21 6,978 6,968 6,49 6,49 45,28722 45,22232 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-22 6,905 6,895 6,48 6,48 44,7444 44,6796 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-23 6,895 6,885 6,57 6,57 45,30015 45,23445 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-24 6,858 6,848 6,55 6,55 44,9199 44,8544 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-25 6,885 6,875 6,59 6,59 45,37215 45,30625 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-02-28 6,828 6,818 6,73 6,73 45,95244 45,88514 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-01 6,87 6,86 6,8 6,8 46,716 46,648 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-02 6,888 6,878 6,84 6,84 47,11392 47,04552 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-03 6,903 6,893 7,02 7,02 48,45906 48,38886 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-04 6,9 6,89 6,95 6,95 47,955 47,8855 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-07 6,84 6,83 7,05 7,05 48,222 48,1515 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-08 6,825 6,815 7,03 7,03 47,97975 47,90945 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-09 6,76 6,75 7,01 7,01 47,3876 47,3175 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-10 6,745 6,735 6,91 6,91 46,60795 46,53885 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-11 6,765 6,755 6,92 6,92 46,8138 46,7446 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-14 6,76 6,75 6,83 6,83 46,1708 46,1025 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-15 6,815 6,805 6,86 6,86 46,7509 46,6823 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-16 6,81 6,8 6,86 6,86 46,7166 46,648 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-17 6,795 6,785 6,74 6,74 45,7983 45,7309 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-18 6,828 6,818 6,77 6,77 46,22556 46,15786 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-21 6,908 6,898 6,72 6,72 46,42176 46,35456 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-22 6,928 6,918 6,6 6,6 45,7248 45,6588 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-23 6,973 6,963 6,63 6,63 46,23099 46,16469 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-24 7,008 6,998 6,55 6,55 45,9024 45,8369 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-29 7,055 7,045 6,45 6,45 45,50475 45,44025 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-30 7,053 7,043 6,39 6,39 45,06867 45,00477 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-03-31 7,065 7,055 6,47 6,47 45,71055 45,64585 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-01 7,07 7,06 6,61 6,61 46,7327 46,6666 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-04 7,113 7,103 6,6 6,6 46,9458 46,8798 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-05 7,163 7,153 6,58 6,58 47,13254 47,06674 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-06 7,125 7,115 6,57 6,57 46,81125 46,74555 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-07 7,083 7,073 6,57 6,57 46,53531 46,46961 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-08 7,153 7,143 6,61 6,61 47,28133 47,21523 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-11 7,098 7,088 6,55 6,55 46,4919 46,4264 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-12 7,048 7,038 6,48 6,48 45,67104 45,60624 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-13 7,075 7,065 6,42 6,42 45,4215 45,3573 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-14 7,12 7,11 6,37 6,37 45,3544 45,2907 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-15 7,17 7,16 6,23 6,23 44,6691 44,6068 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-18 7,08 7,07 6,12 6,12 43,3296 43,2684 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-19 7,068 7,058 6,27 6,27 44,31636 44,25366 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-20 7,043 7,033 6,26 6,26 44,08918 44,02658 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-21 7,025 7,015 6,32 6,32 44,398 44,3348 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-22 7,023 7,013 6,36 6,36 44,66628 44,60268 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-25 7,04 7,03 6,3 6,3 44,352 44,289 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-26 7,035 7,025 6,28 6,28 44,1798 44,117 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-27 7,085 7,075 6,22 6,22 44,0687 44,0065 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-28 7,085 7,075 6,17 6,17 43,71445 43,65275 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-04-29 7,08 7,07 6,12 6,12 43,3296 43,2684 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-02 7,15 7,14 6,08 6,08 43,472 43,4112 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-03 7,178 7,168 6,11 6,11 43,85758 43,79648 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-04 7,11 7,1 6,13 6,13 43,5843 43,523 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-06 7,085 7,075 6,21 6,21 43,99785 43,93575 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-09 7,168 7,158 6,2 6,2 44,4416 44,3796 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-10 7,178 7,168 6,21 6,21 44,57538 44,51328 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-11 7,15 7,14 6,23 6,23 44,5445 44,4822 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-12 7,243 7,233 6,19 6,19 44,83417 44,77227 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-13 7,265 7,255 6,11 6,11 44,38915 44,32805 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-17 7,313 7,303 6,02 6,02 44,02426 43,96406 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-18 7,3 7,29 6,05 6,05 44,165 44,1045 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-19 7,26 7,25 6,1 6,1 44,286 44,225 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-20 7,28 7,27 6,07 6,07 44,1896 44,1289 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-23 7,32 7,31 6,06 6,06 44,3592 44,2986 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-24 7,295 7,285 6,04 6,04 44,0618 44,0014 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-25 7,298 7,288 6,09 6,09 44,44482 44,38392 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-26 7,33 7,32 6,12 6,12 44,8596 44,7984 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-27 7,338 7,328 6,2 6,2 45,4956 45,4336 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-30 7,338 7,328 6,19 6,19 45,42222 45,36032 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-05-31 7,403 7,393 6,18 6,18 45,75054 45,68874 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-01 7,428 7,418 6,24 6,24 46,35072 46,28832 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-02 7,473 7,463 6,25 6,25 46,70625 46,64375 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-03 7,438 7,428 6,31 6,31 46,93378 46,87068 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-07 7,448 7,438 6,35 6,35 47,2948 47,2313 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-08 7,435 7,425 6,34 6,34 47,1379 47,0745 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-09 7,523 7,513 6,27 6,27 47,16921 47,10651 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-10 7,525 7,515 6,36 6,36 47,859 47,7954 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-13 7,643 7,633 6,31 6,31 48,22733 48,16423 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-14 7,663 7,653 6,44 6,44 49,34972 49,28532 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-15 7,693 7,683 6,56 6,56 50,46608 50,40048 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-16 7,678 7,668 6,63 6,63 50,90514 50,83884 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-17 7,643 7,633 6,81 6,81 52,04883 51,98073 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-20 7,543 7,533 6,82 6,82 51,44326 51,37506 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-21 7,648 7,638 6,76 6,76 51,70048 51,63288 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-22 7,608 7,598 6,77 6,77 51,50616 51,43846 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-27 7,73 7,72 6,67 6,67 51,5591 51,4924 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-28 7,76 7,75 6,71 6,71 52,0696 52,0025 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-29 7,833 7,823 6,81 6,81 53,34273 53,27463 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-06-30 7,823 7,813 6,74 6,74 52,72702 52,65962 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-01 7,858 7,848 6,79 6,79 53,35582 53,28792 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-04 7,945 7,935 6,7 6,7 53,2315 53,1645 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-05 7,963 7,953 6,68 6,68 53,19284 53,12604 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-06 7,895 7,885 6,74 6,74 53,2123 53,1449 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-07 7,878 7,868 6,7 6,7 52,7826 52,7156 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-08 7,913 7,903 6,73 6,73 53,25449 53,18719 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-11 7,89 7,88 6,88 6,88 54,2832 54,2144 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-12 7,77 7,76 6,88 6,88 53,4576 53,3888 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-13 7,703 7,693 6,83 6,83 52,61149 52,54319 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-14 7,76 7,75 6,94 6,94 53,8544 53,785 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-15 7,76 7,75 6,82 6,82 52,9232 52,855 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-18 7,78 7,77 6,77 6,77 52,6706 52,6029 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-19 7,878 7,868 6,8 6,8 53,5704 53,5024 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-20 7,818 7,808 6,87 6,87 53,70966 53,64096 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-21 7,775 7,765 6,87 6,87 53,41425 53,34555 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-22 7,758 7,748 6,86 6,86 53,21988 53,15128 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-25 7,838 7,828 6,89 6,89 54,00382 53,93492 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-26 7,818 7,808 6,88 6,88 53,78784 53,71904 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-27 7,905 7,895 7 7 55,335 55,265 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-28 7,848 7,838 7,01 7,01 55,01448 54,94438 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-07-29 7,748 7,738 7,09 7,09 54,93332 54,86242 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-01 7,72 7,71 7,13 7,13 55,0436 54,9723 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-02 7,7 7,69 7,22 7,22 55,594 55,5218 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-03 7,685 7,675 7,29 7,29 56,02365 55,95075 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-04 7,618 7,608 7,17 7,17 54,62106 54,54936 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-05 7,548 7,538 7,12 7,12 53,74176 53,67056 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-08 7,558 7,548 7,17 7,17 54,19086 54,11916 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-09 7,548 7,538 7,17 7,17 54,11916 54,04746 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-10 7,558 7,548 7,12 7,12 53,81296 53,74176 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-11 7,523 7,513 7,16 7,16 53,86468 53,79308 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-12 7,46 7,45 7,23 7,23 53,9358 53,8635 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-16 7,523 7,513 7,08 7,08 53,26284 53,19204 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-17 7,605 7,595 7,02 7,02 53,3871 53,3169 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-18 7,61 7,6 6,99 6,99 53,1939 53,124 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-19 7,698 7,688 6,99 6,99 53,80902 53,73912 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-22 7,69 7,68 7,04 7,04 54,1376 54,0672 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-23 7,663 7,653 7,07 7,07 54,17741 54,10671 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-24 7,673 7,663 7,11 7,11 54,55503 54,48393 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-25 7,588 7,578 7,21 7,21 54,70948 54,63738 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-26 7,578 7,568 7,19 7,19 54,48582 54,41392 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-29 7,573 7,563 7,16 7,16 54,22268 54,15108 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-30 7,633 7,623 7,23 7,23 55,18659 55,11429 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-08-31 7,668 7,658 7,4 7,4 56,7432 56,6692 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-01 7,568 7,558 7,72 7,72 58,42496 58,34776 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-02 7,435 7,425 7,72 7,72 57,3982 57,321 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-05 7,41 7,4 7,65 7,65 56,6865 56,61 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-06 7,485 7,475 7,67 7,67 57,40995 57,33325 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-07 7,43 7,42 7,81 7,81 58,0283 57,9502 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-08 7,498 7,488 7,85 7,85 58,8593 58,7808 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-09 7,523 7,513 7,96 7,96 59,88308 59,80348 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-12 7,555 7,545 8,09 8,09 61,11995 61,03905 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-13 7,57 7,56 8,06 8,06 61,0142 60,9336 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-14 7,61 7,6 8,03 8,03 61,1083 61,028 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-15 7,658 7,648 7,99 7,99 61,18742 61,10752 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-16 7,613 7,603 7,97 7,97 60,67561 60,59591 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-19 7,698 7,688 7,95 7,95 61,1991 61,1196 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-20 7,688 7,678 7,95 7,95 61,1196 61,0401 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-21 7,663 7,653 8,05 8,05 61,68715 61,60665 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-22 7,648 7,638 8,06 8,06 61,64288 61,56228 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-23 7,733 7,723 7,96 7,96 61,55468 61,47508 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-26 7,798 7,788 8 8 62,384 62,304 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-27 7,825 7,815 8,03 8,03 62,83475 62,75445 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-28 7,81 7,8 7,96 7,96 62,1676 62,088 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-29 7,785 7,775 8,07 8,07 62,82495 62,74425 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-09-30 7,785 7,775 8,18 8,18 63,6813 63,5995 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-03 7,783 7,773 8,19 8,19 63,74277 63,66087 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-04 7,82 7,81 8,19 8,19 64,0458 63,9639 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-05 7,795 7,785 8,15 8,15 63,52925 63,44775 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-06 7,713 7,703 7,87 7,87 60,70131 60,62261 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-07 7,683 7,673 7,88 7,88 60,54204 60,46324 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-10 7,698 7,688 7,83 7,83 60,27534 60,19704 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-11 7,77 7,76 7,8 7,8 60,606 60,528 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-12 7,805 7,795 7,64 7,64 59,6302 59,5538 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-13 7,83 7,82 7,42 7,42 58,0986 58,0244 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-14 7,833 7,823 7,38 7,38 57,80754 57,73374 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-17 7,835 7,825 7,47 7,47 58,52745 58,45275 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-18 7,893 7,883 7,4 7,4 58,4082 58,3342 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-19 7,96 7,95 7,12 7,12 56,6752 56,604 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-20 7,93 7,92 7,33 7,33 58,1269 58,0536 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-21 7,883 7,873 7,11 7,11 56,04813 55,97703 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-24 7,995 7,985 7,25 7,25 57,96375 57,89125 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-25 7,99 7,98 7,3 7,3 58,327 58,254 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-26 7,868 7,858 7,35 7,35 57,8298 57,7563 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-27 7,868 7,858 7,26 7,26 57,12168 57,04908 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-28 7,825 7,815 7,21 7,21 56,41825 56,34615 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-10-31 7,905 7,895 7,26 7,26 57,3903 57,3177 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-02 7,98 7,97 7,3 7,3 58,254 58,181 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-03 8,01 8 7,41 7,41 59,3541 59,28 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-04 8,028 8,018 7,58 7,58 60,85224 60,77644 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-07 8,135 8,125 7,55 7,55 61,41925 61,34375 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-08 8,17 8,16 7,48 7,48 61,1116 61,0368 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-09 8,12 8,11 7,52 7,52 61,0624 60,9872 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-10 8,173 8,163 7,47 7,47 61,05231 60,97761 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-11 8,235 8,225 7,41 7,41 61,02135 60,94725 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-14 8,133 8,123 7,49 7,49 60,91617 60,84127 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-15 8,185 8,175 7,44 7,44 60,8964 60,822 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-16 8,21 8,2 7,4 7,4 60,754 60,68 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-17 8,258 8,248 7,45 7,45 61,5221 61,4476 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-18 8,223 8,213 7,51 7,51 61,75473 61,67963 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-21 8,123 8,113 7,56 7,56 61,40988 61,33428 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-22 8,15 8,14 7,61 7,61 62,0215 61,9454 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-23 8,048 8,038 7,75 7,75 62,372 62,2945 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-24 8,053 8,043 7,63 7,63 61,44439 61,36809 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-25 8,078 8,068 7,6 7,6 61,3928 61,3168 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-28 8,118 8,108 7,56 7,56 61,37208 61,29648 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-29 8,015 8,005 7,63 7,63 61,15445 61,07815 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-11-30 8,088 8,078 7,49 7,49 60,57912 60,50422 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-01 8,083 8,073 7,6 7,6 61,4308 61,3548 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-02 8,103 8,093 7,6 7,6 61,5828 61,5068 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-05 8,045 8,035 7,58 7,58 60,9811 60,9053 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-06 7,993 7,983 7,6 7,6 60,7468 60,6708 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-07 8,015 8,005 7,66 7,66 61,3949 61,3183 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-08 7,988 7,978 7,58 7,58 60,54904 60,47324 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-12 7,953 7,943 7,79 7,79 61,95387 61,87597 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-13 7,905 7,895 7,77 7,77 61,42185 61,34415 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-14 7,848 7,838 7,82 7,82 61,37136 61,29316 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-15 7,858 7,848 7,8 7,8 61,2924 61,2144 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-16 7,903 7,893 7,83 7,83 61,88049 61,80219 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-19 7,865 7,855 7,84 7,84 61,6616 61,5832 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-20 7,848 7,838 7,81 7,81 61,29288 61,21478 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-21 7,948 7,938 7,77 7,77 61,75596 61,67826 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-22 7,98 7,97 7,77 7,77 62,0046 61,9269 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-23 7,955 7,945 7,77 7,77 61,81035 61,73265 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-27 8,01 8 7,77 7,77 62,2377 62,16 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-28 7,915 7,905 7,71 7,71 61,02465 60,94755 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-29 7,938 7,928 7,78 7,78 61,75764 61,67984 553578 BlackRock (Channel Islands) Limited MLIIF New Energy Fund USD 2005-12-30 7,958 7,948 7,81 7,81 62,15198 62,07388 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-03 6,668 6,658 43,23 43,23 288,25764 287,82534 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-04 6,728 6,718 42,78 42,78 287,82384 287,39604 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-05 6,828 6,818 42,39 42,39 289,43892 289,01502 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-07 6,87 6,86 42,37 42,37 291,0819 290,6582 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-10 6,96091 6,95091 42,3 42,3 294,446493 294,023493 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-11 6,96091 6,95091 42,1 42,1 293,054311 292,633311 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-12 6,913 6,903 41,97 41,97 290,13861 289,71891 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-13 6,843 6,833 42,11 42,11 288,15873 287,73763 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-14 6,915 6,905 41,96 41,96 290,1534 289,7338 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-17 6,915 6,905 42,06 42,06 290,8449 290,4243 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-18 6,968 6,958 41,96 41,96 292,37728 291,95768 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-19 6,91 6,9 42,33 42,33 292,5003 292,077 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-20 6,96 6,95 41,74 41,74 290,5104 290,093 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-21 6,978 6,968 41,84 41,84 291,95952 291,54112 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-24 6,933 6,923 41,66 41,66 288,82878 288,41218 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-25 6,95 6,94 41,74 41,74 290,093 289,6756 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-26 6,995 6,985 41,64 41,64 291,2718 290,8554 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-27 6,93 6,92 41,72 41,72 289,1196 288,7024 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-28 6,985 6,975 41,75 41,75 291,62375 291,20625 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-01-31 6,998 6,988 41,99 41,99 293,84602 293,42612 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-01 6,993 6,983 42,13 42,13 294,61509 294,19379 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-02 6,953 6,943 42,35 42,35 294,45955 294,03605 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-03 6,968 6,958 42,47 42,47 295,93096 295,50626 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-04 7,01 7 42,58 42,58 298,4858 298,06 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-07 7,065 7,055 42,87 42,87 302,87655 302,44785 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-08 7,123 7,113 42,89 42,89 305,50547 305,07657 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-09 7,1 7,09 42,91 42,91 304,661 304,2319 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-10 7,088 7,078 42,82 42,82 303,50816 303,07996 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-11 7,068 7,058 42,9 42,9 303,2172 302,7882 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-14 7,03 7,02 43,25 43,25 304,0475 303,615 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-15 7,005 6,995 43,32 43,32 303,4566 303,0234 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-16 6,973 6,963 43,2 43,2 301,2336 300,8016 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-17 6,97 6,96 43,44 43,44 302,7768 302,3424 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-18 6,965 6,955 43,11 43,11 300,26115 299,83005 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-21 6,978 6,968 43,12 43,12 300,89136 300,46016 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-22 6,905 6,895 43,05 43,05 297,26025 296,82975 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-23 6,895 6,885 42,68 42,68 294,2786 293,8518 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-24 6,858 6,848 42,8 42,8 293,5224 293,0944 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-25 6,885 6,875 43,11 43,11 296,81235 296,38125 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-02-28 6,828 6,818 43,46 43,46 296,74488 296,31028 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-01 6,87 6,86 43,4 43,4 298,158 297,724 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-02 6,888 6,878 43,25 43,25 297,906 297,4735 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-03 6,903 6,893 43,49 43,49 300,21147 299,77657 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-04 6,9 6,89 43,63 43,63 301,047 300,6107 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-07 6,84 6,83 43,87 43,87 300,0708 299,6321 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-08 6,825 6,815 43,83 43,83 299,13975 298,70145 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-09 6,76 6,75 43,58 43,58 294,6008 294,165 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-10 6,745 6,735 43,31 43,31 292,12595 291,69285 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-11 6,765 6,755 43,35 43,35 293,26275 292,82925 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-14 6,76 6,75 42,99 42,99 290,6124 290,1825 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-15 6,815 6,805 43,38 43,38 295,6347 295,2009 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-16 6,81 6,8 42,78 42,78 291,3318 290,904 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-17 6,795 6,785 42,64 42,64 289,7388 289,3124 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-18 6,828 6,818 42,68 42,68 291,41904 290,99224 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-21 6,908 6,898 42,68 42,68 294,83344 294,40664 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-22 6,928 6,918 42,53 42,53 294,64784 294,22254 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-23 6,973 6,963 41,8 41,8 291,4714 291,0534 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-24 7,008 6,998 42,05 42,05 294,6864 294,2659 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-29 7,055 7,045 41,91 41,91 295,67505 295,25595 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-30 7,053 7,043 41,82 41,82 294,95646 294,53826 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-03-31 7,065 7,055 42,31 42,31 298,92015 298,49705 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-01 7,07 7,06 42,56 42,56 300,8992 300,4736 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-04 7,113 7,103 41,95 41,95 298,39035 297,97085 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-05 7,163 7,153 42,28 42,28 302,85164 302,42884 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-06 7,125 7,115 42,36 42,36 301,815 301,3914 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-07 7,083 7,073 42,5 42,5 301,0275 300,6025 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-08 7,153 7,143 42,62 42,62 304,86086 304,43466 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-11 7,098 7,088 42,22 42,22 299,67756 299,25536 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-12 7,048 7,038 42,03 42,03 296,22744 295,80714 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-13 7,075 7,065 42,29 42,29 299,20175 298,77885 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-14 7,12 7,11 41,84 41,84 297,9008 297,4824 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-15 7,17 7,16 41,32 41,32 296,2644 295,8512 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-18 7,08 7,07 40,71 40,71 288,2268 287,8197 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-19 7,068 7,058 41,04 41,04 290,07072 289,66032 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-20 7,043 7,033 40,77 40,77 287,14311 286,73541 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-21 7,025 7,015 40,92 40,92 287,463 287,0538 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-22 7,023 7,013 41,23 41,23 289,55829 289,14599 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-25 7,04 7,03 41,21 41,21 290,1184 289,7063 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-26 7,035 7,025 41,15 41,15 289,49025 289,07875 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-27 7,085 7,075 40,72 40,72 288,5012 288,094 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-28 7,085 7,075 40,82 40,82 289,2097 288,8015 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-04-29 7,08 7,07 40,84 40,84 289,1472 288,7388 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-02 7,15 7,14 41,19 41,19 294,5085 294,0966 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-03 7,178 7,168 41,21 41,21 295,80538 295,39328 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-04 7,11 7,1 41,2 41,2 292,932 292,52 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-06 7,085 7,075 41,59 41,59 294,66515 294,24925 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-09 7,168 7,158 41,43 41,43 296,97024 296,55594 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-10 7,178 7,168 41,38 41,38 297,02564 296,61184 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-11 7,15 7,14 41,13 41,13 294,0795 293,6682 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-12 7,243 7,233 41,19 41,19 298,33917 297,92727 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-13 7,265 7,255 40,71 40,71 295,75815 295,35105 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-17 7,313 7,303 40,9 40,9 299,1017 298,6927 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-18 7,3 7,29 41,39 41,39 302,147 301,7331 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-19 7,26 7,25 41,69 41,69 302,6694 302,2525 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-20 7,28 7,27 41,73 41,73 303,7944 303,3771 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-23 7,32 7,31 41,82 41,82 306,1224 305,7042 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-24 7,295 7,285 41,9 41,9 305,6605 305,2415 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-25 7,298 7,288 41,82 41,82 305,20236 304,78416 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-26 7,33 7,32 42,05 42,05 308,2265 307,806 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-27 7,338 7,328 42,17 42,17 309,44346 309,02176 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-30 7,338 7,328 42,22 42,22 309,81036 309,38816 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-05-31 7,403 7,393 41,94 41,94 310,48182 310,06242 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-01 7,428 7,418 42,02 42,02 312,12456 311,70436 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-02 7,473 7,463 42,17 42,17 315,13641 314,71471 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-03 7,438 7,428 42,28 42,28 314,47864 314,05584 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-07 7,448 7,438 42,31 42,31 315,12488 314,70178 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-08 7,435 7,425 42,19 42,19 313,68265 313,26075 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-09 7,523 7,513 41,94 41,94 315,51462 315,09522 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-10 7,525 7,515 42,38 42,38 318,9095 318,4857 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-13 7,643 7,633 42,33 42,33 323,52819 323,10489 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-14 7,663 7,653 42,52 42,52 325,83076 325,40556 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-15 7,693 7,683 42,54 42,54 327,26022 326,83482 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-16 7,678 7,668 42,63 42,63 327,31314 326,88684 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-17 7,643 7,633 42,9 42,9 327,8847 327,4557 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-20 7,543 7,533 42,75 42,75 322,46325 322,03575 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-21 7,648 7,638 42,83 42,83 327,56384 327,13554 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-22 7,608 7,598 42,94 42,94 326,68752 326,25812 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-27 7,73 7,72 42,23 42,23 326,4379 326,0156 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-28 7,76 7,75 42,27 42,27 328,0152 327,5925 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-29 7,833 7,823 42,36 42,36 331,80588 331,38228 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-06-30 7,823 7,813 42,3 42,3 330,9129 330,4899 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-01 7,858 7,848 42,05 42,05 330,4289 330,0084 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-04 7,945 7,935 42,03 42,03 333,92835 333,50805 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-05 7,963 7,953 41,97 41,97 334,20711 333,78741 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-06 7,895 7,885 42,45 42,45 335,14275 334,71825 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-07 7,878 7,868 41,78 41,78 329,14284 328,72504 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-08 7,913 7,903 42,31 42,31 334,79903 334,37593 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-11 7,89 7,88 42,83 42,83 337,9287 337,5004 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-12 7,77 7,76 43,05 43,05 334,4985 334,068 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-13 7,703 7,693 43,18 43,18 332,61554 332,18374 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-14 7,76 7,75 43,46 43,46 337,2496 336,815 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-15 7,76 7,75 43,18 43,18 335,0768 334,645 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-18 7,78 7,77 43,04 43,04 334,8512 334,4208 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-19 7,878 7,868 43,25 43,25 340,7235 340,291 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-20 7,818 7,808 43,27 43,27 338,28486 337,85216 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-21 7,775 7,765 43,48 43,48 338,057 337,6222 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-22 7,758 7,748 43,39 43,39 336,61962 336,18572 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-25 7,838 7,828 43,5 43,5 340,953 340,518 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-26 7,818 7,808 43,45 43,45 339,6921 339,2576 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-27 7,905 7,895 43,49 43,49 343,78845 343,35355 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-28 7,848 7,838 43,76 43,76 343,42848 342,99088 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-07-29 7,748 7,738 43,99 43,99 340,83452 340,39462 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-01 7,72 7,71 43,81 43,81 338,2132 337,7751 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-02 7,7 7,69 43,84 43,84 337,568 337,1296 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-03 7,685 7,675 43,86 43,86 337,0641 336,6255 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-04 7,618 7,608 43,8 43,8 333,6684 333,2304 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-05 7,548 7,538 43,61 43,61 329,16828 328,73218 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-08 7,558 7,548 43,65 43,65 329,9067 329,4702 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-09 7,548 7,538 43,61 43,61 329,16828 328,73218 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-10 7,558 7,548 43,97 43,97 332,32526 331,88556 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-11 7,523 7,513 43,71 43,71 328,83033 328,39323 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-12 7,46 7,45 43,74 43,74 326,3004 325,863 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-16 7,523 7,513 43,71 43,71 328,83033 328,39323 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-17 7,605 7,595 43,49 43,49 330,74145 330,30655 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-18 7,61 7,6 43,35 43,35 329,8935 329,46 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-19 7,698 7,688 43,47 43,47 334,63206 334,19736 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-22 7,69 7,68 43,68 43,68 335,8992 335,4624 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-23 7,663 7,653 43,43 43,43 332,80409 332,36979 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-24 7,673 7,663 43,3 43,3 332,2409 331,8079 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-25 7,588 7,578 43,04 43,04 326,58752 326,15712 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-26 7,578 7,568 42,99 42,99 325,77822 325,34832 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-29 7,573 7,563 42,77 42,77 323,89721 323,46951 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-30 7,633 7,623 42,87 42,87 327,22671 326,79801 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-08-31 7,668 7,658 42,89 42,89 328,88052 328,45162 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-01 7,568 7,558 43,43 43,43 328,67824 328,24394 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-02 7,435 7,425 43,45 43,45 323,05075 322,61625 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-05 7,41 7,4 43,28 43,28 320,7048 320,272 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-06 7,485 7,475 43,47 43,47 325,37295 324,93825 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-07 7,43 7,42 43,72 43,72 324,8396 324,4024 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-08 7,498 7,488 43,73 43,73 327,88754 327,45024 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-09 7,523 7,513 43,76 43,76 329,20648 328,76888 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-12 7,555 7,545 43,97 43,97 332,19335 331,75365 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-13 7,57 7,56 43,78 43,78 331,4146 330,9768 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-14 7,61 7,6 43,64 43,64 332,1004 331,664 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-15 7,658 7,648 43,58 43,58 333,73564 333,29984 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-16 7,613 7,603 43,66 43,66 332,38358 331,94698 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-19 7,698 7,688 43,81 43,81 337,24938 336,81128 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-20 7,688 7,678 43,72 43,72 336,11936 335,68216 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-21 7,663 7,653 43,2 43,2 331,0416 330,6096 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-22 7,648 7,638 42,85 42,85 327,7168 327,2883 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-23 7,733 7,723 42,71 42,71 330,27643 329,84933 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-26 7,798 7,788 42,87 42,87 334,30026 333,87156 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-27 7,825 7,815 42,86 42,86 335,3795 334,9509 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-28 7,81 7,8 42,92 42,92 335,2052 334,776 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-29 7,785 7,775 42,68 42,68 332,2638 331,837 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-09-30 7,785 7,775 43,2 43,2 336,312 335,88 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-03 7,783 7,773 43,35 43,35 337,39305 336,95955 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-04 7,82 7,81 43,19 43,19 337,7458 337,3139 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-05 7,795 7,785 42,77 42,77 333,39215 332,96445 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-06 7,713 7,703 42,4 42,4 327,0312 326,6072 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-07 7,683 7,673 42,37 42,37 325,52871 325,10501 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-10 7,698 7,688 42,11 42,11 324,16278 323,74168 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-11 7,77 7,76 41,98 41,98 326,1846 325,7648 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-12 7,805 7,795 41,94 41,94 327,3417 326,9223 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-13 7,83 7,82 41,38 41,38 324,0054 323,5916 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-14 7,833 7,823 41,49 41,49 324,99117 324,57627 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-17 7,835 7,825 41,92 41,92 328,4432 328,024 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-18 7,893 7,883 41,73 41,73 329,37489 328,95759 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-19 7,96 7,95 41,22 41,22 328,1112 327,699 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-20 7,93 7,92 41,82 41,82 331,6326 331,2144 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-21 7,883 7,873 41,46 41,46 326,82918 326,41458 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-24 7,995 7,985 41,64 41,64 332,9118 332,4954 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-25 7,99 7,98 42,05 42,05 335,9795 335,559 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-26 7,868 7,858 41,99 41,99 330,37732 329,95742 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-27 7,868 7,858 41,84 41,84 329,19712 328,77872 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-28 7,825 7,815 41,62 41,62 325,6765 325,2603 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-10-31 7,905 7,895 42,37 42,37 334,93485 334,51115 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-02 7,98 7,97 42,35 42,35 337,953 337,5295 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-03 8,01 8 42,87 42,87 343,3887 342,96 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-04 8,028 8,018 42,87 42,87 344,16036 343,73166 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-07 8,135 8,125 42,81 42,81 348,25935 347,83125 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-08 8,17 8,16 42,69 42,69 348,7773 348,3504 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-09 8,12 8,11 42,69 42,69 346,6428 346,2159 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-10 8,173 8,163 42,9 42,9 350,6217 350,1927 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-11 8,235 8,225 43,12 43,12 355,0932 354,662 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-14 8,133 8,123 43,17 43,17 351,10161 350,66991 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-15 8,185 8,175 43,1 43,1 352,7735 352,3425 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-16 8,21 8,2 43,03 43,03 353,2763 352,846 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-17 8,258 8,248 43,12 43,12 356,08496 355,65376 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-18 8,223 8,213 43,6 43,6 358,5228 358,0868 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-21 8,123 8,113 43,56 43,56 353,83788 353,40228 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-22 8,15 8,14 43,69 43,69 356,0735 355,6366 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-23 8,048 8,038 44,15 44,15 355,3192 354,8777 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-24 8,053 8,043 44,38 44,38 357,39214 356,94834 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-25 8,078 8,068 44,44 44,44 358,98632 358,54192 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-28 8,118 8,108 44,35 44,35 360,0333 359,5898 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-29 8,015 8,005 44,41 44,41 355,94615 355,50205 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-11-30 8,088 8,078 44,26 44,26 357,97488 357,53228 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-01 8,083 8,073 44,44 44,44 359,20852 358,76412 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-02 8,103 8,093 44,52 44,52 360,74556 360,30036 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-05 8,045 8,035 44,5 44,5 358,0025 357,5575 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-06 7,993 7,983 44,64 44,64 356,80752 356,36112 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-07 8,015 8,005 44,5 44,5 356,6675 356,2225 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-08 7,988 7,978 44,25 44,25 353,469 353,0265 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-12 7,953 7,943 44,6 44,6 354,7038 354,2578 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-13 7,905 7,895 44,48 44,48 351,6144 351,1696 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-14 7,848 7,838 44,86 44,86 352,06128 351,61268 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-15 7,858 7,848 44,92 44,92 352,98136 352,53216 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-16 7,903 7,893 44,93 44,93 355,08179 354,63249 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-19 7,865 7,855 44,69 44,69 351,48685 351,03995 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-20 7,848 7,838 44,55 44,55 349,6284 349,1829 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-21 7,948 7,938 44,72 44,72 355,43456 354,98736 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-22 7,98 7,97 44,68 44,68 356,5464 356,0996 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-23 7,955 7,945 44,88 44,88 357,0204 356,5716 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-27 8,01 8 44,97 44,97 360,2097 359,76 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-28 7,915 7,905 44,49 44,49 352,13835 351,69345 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-29 7,938 7,928 44,52 44,52 353,39976 352,95456 768556 BlackRock (Channel Islands) Limited MLIIF US Basic Value Fund USD 2005-12-30 7,958 7,948 44,24 44,24 352,06192 351,61952 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-03 6,668 6,658 14,66 14,66 97,75288 97,60628 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-04 6,728 6,718 14,45 14,45 97,2196 97,0751 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-05 6,828 6,818 14,23 14,23 97,16244 97,02014 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-07 6,87 6,86 14,16 14,16 97,2792 97,1376 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-10 6,96091 6,95091 14,19 14,19 98,7753129 98,6334129 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-11 6,96091 6,95091 14,14 14,14 98,4272674 98,2858674 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-12 6,913 6,903 14,14 14,14 97,74982 97,60842 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-13 6,843 6,833 14,25 14,25 97,51275 97,37025 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-14 6,915 6,905 14,26 14,26 98,6079 98,4653 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-17 6,915 6,905 14,31 14,31 98,95365 98,81055 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-18 6,968 6,958 14,27 14,27 99,43336 99,29066 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-19 6,91 6,9 14,41 14,41 99,5731 99,429 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-20 6,96 6,95 14,17 14,17 98,6232 98,4815 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-21 6,978 6,968 14,19 14,19 99,01782 98,87592 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-24 6,933 6,923 14,07 14,07 97,54731 97,40661 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-25 6,95 6,94 14,08 14,08 97,856 97,7152 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-26 6,995 6,985 14,07 14,07 98,41965 98,27895 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-27 6,93 6,92 14,13 14,13 97,9209 97,7796 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-28 6,985 6,975 14,13 14,13 98,69805 98,55675 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-01-31 6,998 6,988 14,23 14,23 99,58154 99,43924 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-01 6,993 6,983 14,35 14,35 100,34955 100,20605 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-02 6,953 6,943 14,47 14,47 100,60991 100,46521 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-03 6,968 6,958 14,49 14,49 100,96632 100,82142 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-04 7,01 7 14,54 14,54 101,9254 101,78 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-07 7,065 7,055 14,67 14,67 103,64355 103,49685 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-08 7,123 7,113 14,61 14,61 104,06703 103,92093 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-09 7,1 7,09 14,63 14,63 103,873 103,7267 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-10 7,088 7,078 14,5 14,5 102,776 102,631 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-11 7,068 7,058 14,51 14,51 102,55668 102,41158 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-14 7,03 7,02 14,69 14,69 103,2707 103,1238 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-15 7,005 6,995 14,75 14,75 103,32375 103,17625 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-16 6,973 6,963 14,75 14,75 102,85175 102,70425 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-17 6,97 6,96 14,89 14,89 103,7833 103,6344 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-18 6,965 6,955 14,76 14,76 102,8034 102,6558 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-21 6,978 6,968 14,78 14,78 103,13484 102,98704 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-22 6,905 6,895 14,73 14,73 101,71065 101,56335 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-23 6,895 6,885 14,6 14,6 100,667 100,521 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-24 6,858 6,848 14,65 14,65 100,4697 100,3232 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-25 6,885 6,875 14,85 14,85 102,24225 102,09375 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-02-28 6,828 6,818 15,03 15,03 102,62484 102,47454 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-01 6,87 6,86 14,94 14,94 102,6378 102,4884 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-02 6,888 6,878 14,87 14,87 102,42456 102,27586 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-03 6,903 6,893 15,04 15,04 103,82112 103,67072 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-04 6,9 6,89 15,09 15,09 104,121 103,9701 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-07 6,84 6,83 15,22 15,22 104,1048 103,9526 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-08 6,825 6,815 15,2 15,2 103,74 103,588 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-09 6,76 6,75 15,11 15,11 102,1436 101,9925 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-10 6,745 6,735 14,98 14,98 101,0401 100,8903 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-11 6,765 6,755 15,07 15,07 101,94855 101,79785 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-14 6,76 6,75 14,94 14,94 100,9944 100,845 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-15 6,815 6,805 15,06 15,06 102,6339 102,4833 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-16 6,81 6,8 14,83 14,83 100,9923 100,844 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-17 6,795 6,785 14,77 14,77 100,36215 100,21445 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-18 6,828 6,818 14,83 14,83 101,25924 101,11094 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-21 6,908 6,898 14,83 14,83 102,44564 102,29734 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-22 6,928 6,918 14,84 14,84 102,81152 102,66312 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-23 6,973 6,963 14,58 14,58 101,66634 101,52054 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-24 7,008 6,998 14,72 14,72 103,15776 103,01056 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-29 7,055 7,045 14,66 14,66 103,4263 103,2797 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-30 7,053 7,043 14,56 14,56 102,69168 102,54608 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-03-31 7,065 7,055 14,78 14,78 104,4207 104,2729 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-01 7,07 7,06 14,91 14,91 105,4137 105,2646 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-04 7,113 7,103 14,75 14,75 104,91675 104,76925 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-05 7,163 7,153 14,83 14,83 106,22729 106,07899 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-06 7,125 7,115 14,81 14,81 105,52125 105,37315 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-07 7,083 7,073 14,79 14,79 104,75757 104,60967 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-08 7,153 7,143 14,83 14,83 106,07899 105,93069 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-11 7,098 7,088 14,68 14,68 104,19864 104,05184 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-12 7,048 7,038 14,63 14,63 103,11224 102,96594 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-13 7,075 7,065 14,71 14,71 104,07325 103,92615 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-14 7,12 7,11 14,51 14,51 103,3112 103,1661 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-15 7,17 7,16 14,19 14,19 101,7423 101,6004 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-18 7,08 7,07 13,92 13,92 98,5536 98,4144 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-19 7,068 7,058 14,13 14,13 99,87084 99,72954 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-20 7,043 7,033 14,11 14,11 99,37673 99,23563 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-21 7,025 7,015 14,11 14,11 99,12275 98,98165 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-22 7,023 7,013 14,15 14,15 99,37545 99,23395 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-25 7,04 7,03 14,21 14,21 100,0384 99,8963 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-26 7,035 7,025 14,19 14,19 99,82665 99,68475 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-27 7,085 7,075 13,96 13,96 98,9066 98,767 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-28 7,085 7,075 13,92 13,92 98,6232 98,484 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-04-29 7,08 7,07 13,94 13,94 98,6952 98,5558 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-02 7,15 7,14 14,07 14,07 100,6005 100,4598 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-03 7,178 7,168 14,11 14,11 101,28158 101,14048 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-04 7,11 7,1 14,1 14,1 100,251 100,11 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-06 7,085 7,075 14,33 14,33 101,52805 101,38475 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-09 7,168 7,158 14,31 14,31 102,57408 102,43098 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-10 7,178 7,168 14,34 14,34 102,93252 102,78912 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-11 7,15 7,14 14,25 14,25 101,8875 101,745 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-12 7,243 7,233 14,28 14,28 103,43004 103,28724 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-13 7,265 7,255 14,08 14,08 102,2912 102,1504 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-17 7,313 7,303 14,19 14,19 103,77147 103,62957 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-18 7,3 7,29 14,39 14,39 105,047 104,9031 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-19 7,26 7,25 14,52 14,52 105,4152 105,27 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-20 7,28 7,27 14,52 14,52 105,7056 105,5604 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-23 7,32 7,31 14,6 14,6 106,872 106,726 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-24 7,295 7,285 14,63 14,63 106,72585 106,57955 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-25 7,298 7,288 14,6 14,6 106,5508 106,4048 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-26 7,33 7,32 14,7 14,7 107,751 107,604 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-27 7,338 7,328 14,78 14,78 108,45564 108,30784 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-30 7,338 7,328 14,8 14,8 108,6024 108,4544 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-05-31 7,403 7,393 14,71 14,71 108,89813 108,75103 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-01 7,428 7,418 14,78 14,78 109,78584 109,63804 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-02 7,473 7,463 14,91 14,91 111,42243 111,27333 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-03 7,438 7,428 14,98 14,98 111,42124 111,27144 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-07 7,448 7,438 15,07 15,07 112,24136 112,09066 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-08 7,435 7,425 15,01 15,01 111,59935 111,44925 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-09 7,523 7,513 14,91 14,91 112,16793 112,01883 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-10 7,525 7,515 15,05 15,05 113,25125 113,10075 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-13 7,643 7,633 14,98 14,98 114,49214 114,34234 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-14 7,663 7,653 15,09 15,09 115,63467 115,48377 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-15 7,693 7,683 15,13 15,13 116,39509 116,24379 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-16 7,678 7,668 15,16 15,16 116,39848 116,24688 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-17 7,643 7,633 15,33 15,33 117,16719 117,01389 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-20 7,543 7,533 15,26 15,26 115,10618 114,95358 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-21 7,648 7,638 15,24 15,24 116,55552 116,40312 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-22 7,608 7,598 15,3 15,3 116,4024 116,2494 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-27 7,73 7,72 15,02 15,02 116,1046 115,9544 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-28 7,76 7,75 15,1 15,1 117,176 117,025 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-29 7,833 7,823 15,18 15,18 118,90494 118,75314 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-06-30 7,823 7,813 15,23 15,23 119,14429 118,99199 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-01 7,858 7,848 15,1 15,1 118,6558 118,5048 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-04 7,945 7,935 15,17 15,17 120,52565 120,37395 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-05 7,963 7,953 15,21 15,21 121,11723 120,96513 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-06 7,895 7,885 15,38 15,38 121,4251 121,2713 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-07 7,878 7,868 15,17 15,17 119,50926 119,35756 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-08 7,913 7,903 15,36 15,36 121,54368 121,39008 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-11 7,89 7,88 15,48 15,48 122,1372 121,9824 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-12 7,77 7,76 15,55 15,55 120,8235 120,668 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-13 7,703 7,693 15,59 15,59 120,08977 119,93387 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-14 7,76 7,75 15,6 15,6 121,056 120,9 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-15 7,76 7,75 15,51 15,51 120,3576 120,2025 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-18 7,78 7,77 15,46 15,46 120,2788 120,1242 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-19 7,878 7,868 15,51 15,51 122,18778 122,03268 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-20 7,818 7,808 15,52 15,52 121,33536 121,18016 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-21 7,775 7,765 15,55 15,55 120,90125 120,74575 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-22 7,758 7,748 15,52 15,52 120,40416 120,24896 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-25 7,838 7,828 15,59 15,59 122,19442 122,03852 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-26 7,818 7,808 15,56 15,56 121,64808 121,49248 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-27 7,905 7,895 15,61 15,61 123,39705 123,24095 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-28 7,848 7,838 15,71 15,71 123,29208 123,13498 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-07-29 7,748 7,738 15,85 15,85 122,8058 122,6473 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-01 7,72 7,71 15,77 15,77 121,7444 121,5867 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-02 7,7 7,69 15,8 15,8 121,66 121,502 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-03 7,685 7,675 15,88 15,88 122,0378 121,879 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-04 7,618 7,608 15,8 15,8 120,3644 120,2064 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-05 7,548 7,538 15,71 15,71 118,57908 118,42198 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-08 7,558 7,548 15,72 15,72 118,81176 118,65456 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-09 7,548 7,538 15,66 15,66 118,20168 118,04508 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-10 7,558 7,548 15,81 15,81 119,49198 119,33388 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-11 7,523 7,513 15,78 15,78 118,71294 118,55514 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-12 7,46 7,45 15,75 15,75 117,495 117,3375 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-16 7,523 7,513 15,67 15,67 117,88541 117,72871 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-17 7,605 7,595 15,54 15,54 118,1817 118,0263 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-18 7,61 7,6 15,48 15,48 117,8028 117,648 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-19 7,698 7,688 15,54 15,54 119,62692 119,47152 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-22 7,69 7,68 15,64 15,64 120,2716 120,1152 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-23 7,663 7,653 15,57 15,57 119,31291 119,15721 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-24 7,673 7,663 15,5 15,5 118,9315 118,7765 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-25 7,588 7,578 15,49 15,49 117,53812 117,38322 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-26 7,578 7,568 15,48 15,48 117,30744 117,15264 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-29 7,573 7,563 15,41 15,41 116,69993 116,54583 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-30 7,633 7,623 15,47 15,47 118,08251 117,92781 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-08-31 7,668 7,658 15,52 15,52 119,00736 118,85216 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-01 7,568 7,558 15,78 15,78 119,42304 119,26524 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-02 7,435 7,425 15,71 15,71 116,80385 116,64675 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-05 7,41 7,4 15,67 15,67 116,1147 115,958 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-06 7,485 7,475 15,74 15,74 117,8139 117,6565 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-07 7,43 7,42 15,9 15,9 118,137 117,978 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-08 7,498 7,488 15,96 15,96 119,66808 119,50848 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-09 7,523 7,513 16,03 16,03 120,59369 120,43339 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-12 7,555 7,545 16,1 16,1 121,6355 121,4745 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-13 7,57 7,56 16 16 121,12 120,96 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-14 7,61 7,6 15,96 15,96 121,4556 121,296 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-15 7,658 7,648 15,97 15,97 122,29826 122,13856 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-16 7,613 7,603 15,94 15,94 121,35122 121,19182 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-19 7,698 7,688 15,99 15,99 123,09102 122,93112 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-20 7,688 7,678 15,97 15,97 122,77736 122,61766 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-21 7,663 7,653 15,71 15,71 120,38573 120,22863 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-22 7,648 7,638 15,68 15,68 119,92064 119,76384 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-23 7,733 7,723 15,62 15,62 120,78946 120,63326 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-26 7,798 7,788 15,78 15,78 123,05244 122,89464 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-27 7,825 7,815 15,8 15,8 123,635 123,477 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-28 7,81 7,8 15,85 15,85 123,7885 123,63 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-29 7,785 7,775 15,78 15,78 122,8473 122,6895 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-09-30 7,785 7,775 16 16 124,56 124,4 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-03 7,783 7,773 16,09 16,09 125,22847 125,06757 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-04 7,82 7,81 15,96 15,96 124,8072 124,6476 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-05 7,795 7,785 15,7 15,7 122,3815 122,2245 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-06 7,713 7,703 15,37 15,37 118,54881 118,39511 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-07 7,683 7,673 15,35 15,35 117,93405 117,78055 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-10 7,698 7,688 15,29 15,29 117,70242 117,54952 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-11 7,77 7,76 15,32 15,32 119,0364 118,8832 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-12 7,805 7,795 15,25 15,25 119,02625 118,87375 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-13 7,83 7,82 14,97 14,97 117,2151 117,0654 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-14 7,833 7,823 15,05 15,05 117,88665 117,73615 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-17 7,835 7,825 15,22 15,22 119,2487 119,0965 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-18 7,893 7,883 15,2 15,2 119,9736 119,8216 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-19 7,96 7,95 14,95 14,95 119,002 118,8525 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-20 7,93 7,92 15,27 15,27 121,0911 120,9384 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-21 7,883 7,873 15,1 15,1 119,0333 118,8823 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-24 7,995 7,985 15,22 15,22 121,6839 121,5317 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-25 7,99 7,98 15,38 15,38 122,8862 122,7324 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-26 7,868 7,858 15,38 15,38 121,00984 120,85604 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-27 7,868 7,858 15,28 15,28 120,22304 120,07024 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-28 7,825 7,815 15,16 15,16 118,627 118,4754 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-10-31 7,905 7,895 15,55 15,55 122,92275 122,76725 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-02 7,98 7,97 15,6 15,6 124,488 124,332 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-03 8,01 8 15,99 15,99 128,0799 127,92 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-04 8,028 8,018 15,92 15,92 127,80576 127,64656 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-07 8,135 8,125 15,86 15,86 129,0211 128,8625 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-08 8,17 8,16 15,76 15,76 128,7592 128,6016 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-09 8,12 8,11 15,76 15,76 127,9712 127,8136 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-10 8,173 8,163 15,73 15,73 128,56129 128,40399 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-11 8,235 8,225 15,88 15,88 130,7718 130,613 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-14 8,133 8,123 15,9 15,9 129,3147 129,1557 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-15 8,185 8,175 15,85 15,85 129,73225 129,57375 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-16 8,21 8,2 15,86 15,86 130,2106 130,052 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-17 8,258 8,248 16,03 16,03 132,37574 132,21544 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-18 8,223 8,213 16,18 16,18 133,04814 132,88634 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-21 8,123 8,113 16,14 16,14 131,10522 130,94382 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-22 8,15 8,14 16,3 16,3 132,845 132,682 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-23 8,048 8,038 16,43 16,43 132,22864 132,06434 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-24 8,053 8,043 16,46 16,46 132,55238 132,38778 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-25 8,078 8,068 16,49 16,49 133,20622 133,04132 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-28 8,118 8,108 16,4 16,4 133,1352 132,9712 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-29 8,015 8,005 16,35 16,35 131,04525 130,88175 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-11-30 8,088 8,078 16,33 16,33 132,07704 131,91374 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-01 8,083 8,073 16,42 16,42 132,72286 132,55866 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-02 8,103 8,093 16,54 16,54 134,02362 133,85822 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-05 8,045 8,035 16,57 16,57 133,30565 133,13995 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-06 7,993 7,983 16,61 16,61 132,76373 132,59763 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-07 8,015 8,005 16,63 16,63 133,28945 133,12315 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-08 7,988 7,978 16,51 16,51 131,88188 131,71678 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-12 7,953 7,943 16,68 16,68 132,65604 132,48924 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-13 7,905 7,895 16,64 16,64 131,5392 131,3728 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-14 7,848 7,838 16,7 16,7 131,0616 130,8946 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-15 7,858 7,848 16,73 16,73 131,46434 131,29704 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-16 7,903 7,893 16,69 16,69 131,90107 131,73417 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-19 7,865 7,855 16,57 16,57 130,32305 130,15735 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-20 7,848 7,838 16,51 16,51 129,57048 129,40538 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-21 7,948 7,938 16,63 16,63 132,17524 132,00894 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-22 7,98 7,97 16,69 16,69 133,1862 133,0193 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-23 7,955 7,945 16,75 16,75 133,24625 133,07875 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-27 8,01 8 16,76 16,76 134,2476 134,08 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-28 7,915 7,905 16,61 16,61 131,46815 131,30205 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-29 7,938 7,928 16,63 16,63 132,00894 131,84264 804385 BlackRock (Channel Islands) Limited MLIIF US Flexible Equity Fund USD 2005-12-30 7,958 7,948 16,51 16,51 131,38658 131,22148 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-03 6,668 6,658 35,17 35,17 234,51356 234,16186 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-04 6,728 6,718 34,77 34,77 233,93256 233,58486 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-05 6,828 6,818 34,38 34,38 234,74664 234,40284 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-07 6,87 6,86 34,4 34,4 236,328 235,984 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-10 6,96091 6,95091 34,31 34,31 238,8288221 238,4857221 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-11 6,96091 6,95091 34,02 34,02 236,8101582 236,4699582 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-12 6,913 6,903 33,94 33,94 234,62722 234,28782 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-13 6,843 6,833 34,05 34,05 233,00415 232,66365 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-14 6,915 6,905 34,02 34,02 235,2483 234,9081 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-17 6,915 6,905 34,13 34,13 236,00895 235,66765 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-18 6,968 6,958 34,04 34,04 237,19072 236,85032 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-19 6,91 6,9 34,32 34,32 237,1512 236,808 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-20 6,96 6,95 33,86 33,86 235,6656 235,327 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-21 6,978 6,968 33,99 33,99 237,18222 236,84232 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-24 6,933 6,923 33,86 33,86 234,75138 234,41278 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-25 6,95 6,94 34,06 34,06 236,717 236,3764 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-26 6,995 6,985 33,82 33,82 236,5709 236,2327 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-27 6,93 6,92 33,99 33,99 235,5507 235,2108 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-28 6,985 6,975 33,97 33,97 237,28045 236,94075 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-01-31 6,998 6,988 34,25 34,25 239,6815 239,339 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-01 6,993 6,983 34,42 34,42 240,69906 240,35486 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-02 6,953 6,943 34,56 34,56 240,29568 239,95008 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-03 6,968 6,958 34,64 34,64 241,37152 241,02512 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-04 7,01 7 34,78 34,78 243,8078 243,46 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-07 7,065 7,055 35,08 35,08 247,8402 247,4894 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-08 7,123 7,113 35,05 35,05 249,66115 249,31065 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-09 7,1 7,09 35,09 35,09 249,139 248,7881 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-10 7,088 7,078 34,94 34,94 247,65472 247,30532 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-11 7,068 7,058 35,06 35,06 247,80408 247,45348 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-14 7,03 7,02 35,39 35,39 248,7917 248,4378 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-15 7,005 6,995 35,38 35,38 247,8369 247,4831 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-16 6,973 6,963 35,19 35,19 245,37987 245,02797 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-17 6,97 6,96 35,25 35,25 245,6925 245,34 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-18 6,965 6,955 35,13 35,13 244,68045 244,32915 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-21 6,978 6,968 35,16 35,16 245,34648 244,99488 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-22 6,905 6,895 35,08 35,08 242,2274 241,8766 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-23 6,895 6,885 34,85 34,85 240,29075 239,94225 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-24 6,858 6,848 34,86 34,86 239,06988 238,72128 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-25 6,885 6,875 35,12 35,12 241,8012 241,45 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-02-28 6,828 6,818 35,39 35,39 241,64292 241,28902 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-01 6,87 6,86 35,36 35,36 242,9232 242,5696 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-02 6,888 6,878 35,2 35,2 242,4576 242,1056 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-03 6,903 6,893 35,5 35,5 245,0565 244,7015 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-04 6,9 6,89 35,6 35,6 245,64 245,284 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-07 6,84 6,83 35,74 35,74 244,4616 244,1042 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-08 6,825 6,815 35,78 35,78 244,1985 243,8407 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-09 6,76 6,75 35,54 35,54 240,2504 239,895 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-10 6,745 6,735 35,29 35,29 238,03105 237,67815 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-11 6,765 6,755 35,3 35,3 238,8045 238,4515 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-14 6,76 6,75 35,07 35,07 237,0732 236,7225 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-15 6,815 6,805 35,47 35,47 241,72805 241,37335 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-16 6,81 6,8 34,92 34,92 237,8052 237,456 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-17 6,795 6,785 34,78 34,78 236,3301 235,9823 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-18 6,828 6,818 34,68 34,68 236,79504 236,44824 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-21 6,908 6,898 34,67 34,67 239,50036 239,15366 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-22 6,928 6,918 34,63 34,63 239,91664 239,57034 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-23 6,973 6,963 34,06 34,06 237,50038 237,15978 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-24 7,008 6,998 34,19 34,19 239,60352 239,26162 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-29 7,055 7,045 34,01 34,01 239,94055 239,60045 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-30 7,053 7,043 33,91 33,91 239,16723 238,82813 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-03-31 7,065 7,055 34,29 34,29 242,25885 241,91595 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-01 7,07 7,06 34,48 34,48 243,7736 243,4288 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-04 7,113 7,103 33,89 33,89 241,05957 240,72067 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-05 7,163 7,153 34,24 34,24 245,26112 244,91872 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-06 7,125 7,115 34,2 34,2 243,675 243,333 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-07 7,083 7,073 34,13 34,13 241,74279 241,40149 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-08 7,153 7,143 34,22 34,22 244,77566 244,43346 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-11 7,098 7,088 33,82 33,82 240,05436 239,71616 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-12 7,048 7,038 33,67 33,67 237,30616 236,96946 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-13 7,075 7,065 33,9 33,9 239,8425 239,5035 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-14 7,12 7,11 33,46 33,46 238,2352 237,9006 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-15 7,17 7,16 33 33 236,61 236,28 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-18 7,08 7,07 32,4 32,4 229,392 229,068 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-19 7,068 7,058 32,77 32,77 231,61836 231,29066 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-20 7,043 7,033 32,63 32,63 229,81309 229,48679 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-21 7,025 7,015 32,79 32,79 230,34975 230,02185 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-22 7,023 7,013 32,85 32,85 230,70555 230,37705 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-25 7,04 7,03 32,71 32,71 230,2784 229,9513 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-26 7,035 7,025 32,74 32,74 230,3259 229,9985 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-27 7,085 7,075 32,36 32,36 229,2706 228,947 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-28 7,085 7,075 32,53 32,53 230,47505 230,14975 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-04-29 7,08 7,07 32,3 32,3 228,684 228,361 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-02 7,15 7,14 32,65 32,65 233,4475 233,121 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-03 7,178 7,168 32,57 32,57 233,78746 233,46176 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-04 7,11 7,1 32,71 32,71 232,5681 232,241 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-06 7,085 7,075 32,88 32,88 232,9548 232,626 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-09 7,168 7,158 33,01 33,01 236,61568 236,28558 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-10 7,178 7,168 32,95 32,95 236,5151 236,1856 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-11 7,15 7,14 32,78 32,78 234,377 234,0492 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-12 7,243 7,233 32,85 32,85 237,93255 237,60405 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-13 7,265 7,255 32,5 32,5 236,1125 235,7875 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-17 7,313 7,303 32,7 32,7 239,1351 238,8081 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-18 7,3 7,29 32,98 32,98 240,754 240,4242 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-19 7,26 7,25 33,47 33,47 242,9922 242,6575 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-20 7,28 7,27 33,41 33,41 243,2248 242,8907 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-23 7,32 7,31 33,57 33,57 245,7324 245,3967 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-24 7,295 7,285 33,71 33,71 245,91445 245,57735 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-25 7,298 7,288 33,67 33,67 245,72366 245,38696 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-26 7,33 7,32 33,8 33,8 247,754 247,416 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-27 7,338 7,328 33,99 33,99 249,41862 249,07872 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-30 7,338 7,328 34,13 34,13 250,44594 250,10464 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-05-31 7,403 7,393 34,06 34,06 252,14618 251,80558 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-01 7,428 7,418 34,23 34,23 254,26044 253,91814 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-02 7,473 7,463 34,41 34,41 257,14593 256,80183 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-03 7,438 7,428 34,35 34,35 255,4953 255,1518 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-07 7,448 7,438 34,47 34,47 256,73256 256,38786 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-08 7,435 7,425 34,27 34,27 254,79745 254,45475 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-09 7,523 7,513 33,97 33,97 255,55631 255,21661 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-10 7,525 7,515 34,63 34,63 260,59075 260,24445 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-13 7,643 7,633 34,66 34,66 264,90638 264,55978 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-14 7,663 7,653 34,74 34,74 266,21262 265,86522 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-15 7,693 7,683 34,77 34,77 267,48561 267,13791 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-16 7,678 7,668 34,97 34,97 268,49966 268,14996 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-17 7,643 7,633 35,14 35,14 268,57502 268,22362 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-20 7,543 7,533 35,05 35,05 264,38215 264,03165 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-21 7,648 7,638 35 35 267,68 267,33 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-22 7,608 7,598 35,14 35,14 267,34512 266,99372 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-27 7,73 7,72 34,59 34,59 267,3807 267,0348 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-28 7,76 7,75 34,67 34,67 269,0392 268,6925 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-29 7,833 7,823 34,82 34,82 272,74506 272,39686 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-06-30 7,823 7,813 34,91 34,91 273,10093 272,75183 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-01 7,858 7,848 34,65 34,65 272,2797 271,9332 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-04 7,945 7,935 34,69 34,69 275,61205 275,26515 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-05 7,963 7,953 34,65 34,65 275,91795 275,57145 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-06 7,895 7,885 35,24 35,24 278,2198 277,8674 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-07 7,878 7,868 34,61 34,61 272,65758 272,31148 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-08 7,913 7,903 35,01 35,01 277,03413 276,68403 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-11 7,89 7,88 35,38 35,38 279,1482 278,7944 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-12 7,77 7,76 35,63 35,63 276,8451 276,4888 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-13 7,703 7,693 35,81 35,81 275,84443 275,48633 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-14 7,76 7,75 36,08 36,08 279,9808 279,62 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-15 7,76 7,75 35,69 35,69 276,9544 276,5975 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-18 7,78 7,77 35,61 35,61 277,0458 276,6897 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-19 7,878 7,868 35,87 35,87 282,58386 282,22516 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-20 7,818 7,808 35,92 35,92 280,82256 280,46336 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-21 7,775 7,765 36,09 36,09 280,59975 280,23885 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-22 7,758 7,748 36,04 36,04 279,59832 279,23792 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-25 7,838 7,828 36,15 36,15 283,3437 282,9822 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-26 7,818 7,808 36,07 36,07 281,99526 281,63456 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-27 7,905 7,895 36,08 36,08 285,2124 284,8516 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-28 7,848 7,838 36,31 36,31 284,96088 284,59778 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-07-29 7,748 7,738 36,63 36,63 283,80924 283,44294 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-01 7,72 7,71 36,55 36,55 282,166 281,8005 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-02 7,7 7,69 36,46 36,46 280,742 280,3774 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-03 7,685 7,675 36,38 36,38 279,5803 279,2165 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-04 7,618 7,608 36,25 36,25 276,1525 275,79 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-05 7,548 7,538 36,13 36,13 272,70924 272,34794 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-08 7,558 7,548 36,1 36,1 272,8438 272,4828 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-09 7,548 7,538 36,05 36,05 272,1054 271,7449 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-10 7,558 7,548 36,42 36,42 275,26236 274,89816 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-11 7,523 7,513 36,15 36,15 271,95645 271,59495 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-12 7,46 7,45 36,03 36,03 268,7838 268,4235 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-16 7,523 7,513 36,08 36,08 271,42984 271,06904 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-17 7,605 7,595 35,86 35,86 272,7153 272,3567 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-18 7,61 7,6 35,69 35,69 271,6009 271,244 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-19 7,698 7,688 35,84 35,84 275,89632 275,53792 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-22 7,69 7,68 36 36 276,84 276,48 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-23 7,663 7,653 35,9 35,9 275,1017 274,7427 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-24 7,673 7,663 35,78 35,78 274,53994 274,18214 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-25 7,588 7,578 35,62 35,62 270,28456 269,92836 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-26 7,578 7,568 35,43 35,43 268,48854 268,13424 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-29 7,573 7,563 35,13 35,13 266,03949 265,68819 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-30 7,633 7,623 35,2 35,2 268,6816 268,3296 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-08-31 7,668 7,658 35,2 35,2 269,9136 269,5616 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-01 7,568 7,558 35,74 35,74 270,48032 270,12292 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-02 7,435 7,425 35,69 35,69 265,35515 264,99825 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-05 7,41 7,4 35,47 35,47 262,8327 262,478 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-06 7,485 7,475 35,58 35,58 266,3163 265,9605 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-07 7,43 7,42 35,75 35,75 265,6225 265,265 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-08 7,498 7,488 35,7 35,7 267,6786 267,3216 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-09 7,523 7,513 35,6 35,6 267,8188 267,4628 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-12 7,555 7,545 35,83 35,83 270,69565 270,33735 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-13 7,57 7,56 35,6 35,6 269,492 269,136 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-14 7,61 7,6 35,58 35,58 270,7638 270,408 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-15 7,658 7,648 35,46 35,46 271,55268 271,19808 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-16 7,613 7,603 35,49 35,49 270,18537 269,83047 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-19 7,698 7,688 35,52 35,52 273,43296 273,07776 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-20 7,688 7,678 35,47 35,47 272,69336 272,33866 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-21 7,663 7,653 34,95 34,95 267,82185 267,47235 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-22 7,648 7,638 34,74 34,74 265,69152 265,34412 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-23 7,733 7,723 34,68 34,68 268,18044 267,83364 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-26 7,798 7,788 35,1 35,1 273,7098 273,3588 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-27 7,825 7,815 35,01 35,01 273,95325 273,60315 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-28 7,81 7,8 35,09 35,09 274,0529 273,702 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-29 7,785 7,775 34,83 34,83 271,15155 270,80325 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-09-30 7,785 7,775 35,34 35,34 275,1219 274,7685 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-03 7,783 7,773 35,51 35,51 276,37433 276,01923 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-04 7,82 7,81 35,23 35,23 275,4986 275,1463 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-05 7,795 7,785 34,85 34,85 271,65575 271,30725 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-06 7,713 7,703 34,65 34,65 267,25545 266,90895 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-07 7,683 7,673 34,5 34,5 265,0635 264,7185 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-10 7,698 7,688 34,25 34,25 263,6565 263,314 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-11 7,77 7,76 34,01 34,01 264,2577 263,9176 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-12 7,805 7,795 33,81 33,81 263,88705 263,54895 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-13 7,83 7,82 33,32 33,32 260,8956 260,5624 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-14 7,833 7,823 33,4 33,4 261,6222 261,2882 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-17 7,835 7,825 33,65 33,65 263,64775 263,31125 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-18 7,893 7,883 33,63 33,63 265,44159 265,10529 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-19 7,96 7,95 33,17 33,17 264,0332 263,7015 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-20 7,93 7,92 33,81 33,81 268,1133 267,7752 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-21 7,883 7,873 33,44 33,44 263,60752 263,27312 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-24 7,995 7,985 33,57 33,57 268,39215 268,05645 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-25 7,99 7,98 33,75 33,75 269,6625 269,325 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-26 7,868 7,858 33,95 33,95 267,1186 266,7791 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-27 7,868 7,858 33,89 33,89 266,64652 266,30762 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-28 7,825 7,815 33,61 33,61 262,99825 262,66215 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-10-31 7,905 7,895 34,26 34,26 270,8253 270,4827 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-02 7,98 7,97 34,47 34,47 275,0706 274,7259 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-03 8,01 8 35,05 35,05 280,7505 280,4 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-04 8,028 8,018 34,98 34,98 280,81944 280,46964 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-07 8,135 8,125 34,99 34,99 284,64365 284,29375 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-08 8,17 8,16 34,86 34,86 284,8062 284,4576 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-09 8,12 8,11 34,84 34,84 282,9008 282,5524 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-10 8,173 8,163 35,04 35,04 286,38192 286,03152 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-11 8,235 8,225 35,25 35,25 290,28375 289,93125 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-14 8,133 8,123 35,33 35,33 287,33889 286,98559 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-15 8,185 8,175 35,18 35,18 287,9483 287,5965 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-16 8,21 8,2 35,08 35,08 288,0068 287,656 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-17 8,258 8,248 35,16 35,16 290,35128 289,99968 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-18 8,223 8,213 35,69 35,69 293,47887 293,12197 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-21 8,123 8,113 35,47 35,47 288,12281 287,76811 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-22 8,15 8,14 35,68 35,68 290,792 290,4352 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-23 8,048 8,038 36,14 36,14 290,85472 290,49332 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-24 8,053 8,043 36,33 36,33 292,56549 292,20219 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-25 8,078 8,068 36,3 36,3 293,2314 292,8684 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-28 8,118 8,108 36,31 36,31 294,76458 294,40148 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-29 8,015 8,005 36,28 36,28 290,7842 290,4214 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-11-30 8,088 8,078 36,24 36,24 293,10912 292,74672 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-01 8,083 8,073 36,45 36,45 294,62535 294,26085 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-02 8,103 8,093 36,78 36,78 298,02834 297,66054 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-05 8,045 8,035 36,64 36,64 294,7688 294,4024 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-06 7,993 7,983 36,76 36,76 293,82268 293,45508 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-07 8,015 8,005 36,62 36,62 293,5093 293,1431 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-08 7,988 7,978 36,43 36,43 291,00284 290,63854 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-12 7,953 7,943 36,93 36,93 293,70429 293,33499 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-13 7,905 7,895 36,84 36,84 291,2202 290,8518 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-14 7,848 7,838 36,99 36,99 290,29752 289,92762 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-15 7,858 7,848 36,88 36,88 289,80304 289,43424 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-16 7,903 7,893 36,88 36,88 291,46264 291,09384 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-19 7,865 7,855 36,67 36,67 288,40955 288,04285 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-20 7,848 7,838 36,44 36,44 285,98112 285,61672 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-21 7,948 7,938 36,64 36,64 291,21472 290,84832 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-22 7,98 7,97 36,77 36,77 293,4246 293,0569 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-23 7,955 7,945 37 37 294,335 293,965 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-27 8,01 8 37,14 37,14 297,4914 297,12 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-28 7,915 7,905 36,73 36,73 290,71795 290,35065 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-29 7,938 7,928 36,7 36,7 291,3246 290,9576 589408 BlackRock (Channel Islands) Limited MLIIF US Focused Value Fund USD 2005-12-30 7,958 7,948 36,45 36,45 290,0691 289,7046 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-03 6,668 6,658 84,51 84,51 563,51268 562,66758 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-04 6,728 6,718 82,9 82,9 557,7512 556,9222 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-05 6,828 6,818 80,94 80,94 552,65832 551,84892 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-07 6,87 6,86 80,31 80,31 551,7297 550,9266 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-10 6,96091 6,95091 80,37 80,37 559,4483367 558,6446367 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-11 6,96091 6,95091 80,13 80,13 557,7777183 556,9764183 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-12 6,913 6,903 79,42 79,42 549,03046 548,23626 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-13 6,843 6,833 80,34 80,34 549,76662 548,96322 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-14 6,915 6,905 80,84 80,84 559,0086 558,2002 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-17 6,915 6,905 81,54 81,54 563,8491 563,0337 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-18 6,968 6,958 81,18 81,18 565,66224 564,85044 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-19 6,91 6,9 82,44 82,44 569,6604 568,836 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-20 6,96 6,95 80,72 80,72 561,8112 561,004 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-21 6,978 6,968 81,11 81,11 565,98558 565,17448 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-24 6,933 6,923 80,68 80,68 559,35444 558,54764 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-25 6,95 6,94 80,81 80,81 561,6295 560,8214 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-26 6,995 6,985 80,94 80,94 566,1753 565,3659 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-27 6,93 6,92 81,6 81,6 565,488 564,672 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-28 6,985 6,975 81,84 81,84 571,6524 570,834 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-01-31 6,998 6,988 82,18 82,18 575,09564 574,27384 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-01 6,993 6,983 82,62 82,62 577,76166 576,93546 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-02 6,953 6,943 83,16 83,16 578,21148 577,37988 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-03 6,968 6,958 83,25 83,25 580,086 579,2535 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-04 7,01 7 83,8 83,8 587,438 586,6 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-07 7,065 7,055 84,79 84,79 599,04135 598,19345 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-08 7,123 7,113 84,48 84,48 601,75104 600,90624 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-09 7,1 7,09 84,36 84,36 598,956 598,1124 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-10 7,088 7,078 82,91 82,91 587,66608 586,83698 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-11 7,068 7,058 83,09 83,09 587,28012 586,44922 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-14 7,03 7,02 84,56 84,56 594,4568 593,6112 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-15 7,005 6,995 84,61 84,61 592,69305 591,84695 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-16 6,973 6,963 84,08 84,08 586,28984 585,44904 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-17 6,97 6,96 84,82 84,82 591,1954 590,3472 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-18 6,965 6,955 84,1 84,1 585,7565 584,9155 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-21 6,978 6,968 83,74 83,74 584,33772 583,50032 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-22 6,905 6,895 83,15 83,15 574,15075 573,31925 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-23 6,895 6,885 82,5 82,5 568,8375 568,0125 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-24 6,858 6,848 82,52 82,52 565,92216 565,09696 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-25 6,885 6,875 83,82 83,82 577,1007 576,2625 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-02-28 6,828 6,818 84,65 84,65 577,9902 577,1437 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-01 6,87 6,86 84,57 84,57 580,9959 580,1502 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-02 6,888 6,878 84,61 84,61 582,79368 581,94758 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-03 6,903 6,893 85,03 85,03 586,96209 586,11179 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-04 6,9 6,89 84,94 84,94 586,086 585,2366 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-07 6,84 6,83 85,66 85,66 585,9144 585,0578 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-08 6,825 6,815 85,48 85,48 583,401 582,5462 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-09 6,76 6,75 84,06 84,06 568,2456 567,405 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-10 6,745 6,735 83,16 83,16 560,9142 560,0826 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-11 6,765 6,755 83,27 83,27 563,32155 562,48885 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-14 6,76 6,75 83,05 83,05 561,418 560,5875 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-15 6,815 6,805 83,73 83,73 570,61995 569,78265 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-16 6,81 6,8 82,54 82,54 562,0974 561,272 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-17 6,795 6,785 82,04 82,04 557,4618 556,6414 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-18 6,828 6,818 82,17 82,17 561,05676 560,23506 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-21 6,908 6,898 81,93 81,93 565,97244 565,15314 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-22 6,928 6,918 82,16 82,16 569,20448 568,38288 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-23 6,973 6,963 81,11 81,11 565,58003 564,76893 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-24 7,008 6,998 81,52 81,52 571,29216 570,47696 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-29 7,055 7,045 81,01 81,01 571,52555 570,71545 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-30 7,053 7,043 80,13 80,13 565,15689 564,35559 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-03-31 7,065 7,055 81,05 81,05 572,61825 571,80775 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-01 7,07 7,06 82 82 579,74 578,92 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-04 7,113 7,103 80,95 80,95 575,79735 574,98785 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-05 7,163 7,153 81,41 81,41 583,13983 582,32573 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-06 7,125 7,115 81,61 81,61 581,47125 580,65515 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-07 7,083 7,073 81,51 81,51 577,33533 576,52023 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-08 7,153 7,143 81,62 81,62 583,82786 583,01166 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-11 7,098 7,088 80,71 80,71 572,87958 572,07248 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-12 7,048 7,038 79,86 79,86 562,85328 562,05468 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-13 7,075 7,065 80,75 80,75 571,30625 570,49875 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-14 7,12 7,11 79,65 79,65 567,108 566,3115 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-15 7,17 7,16 77,75 77,75 557,4675 556,69 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-18 7,08 7,07 76,49 76,49 541,5492 540,7843 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-19 7,068 7,058 77,85 77,85 550,2438 549,4653 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-20 7,043 7,033 77,92 77,92 548,79056 548,01136 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-21 7,025 7,015 78,51 78,51 551,53275 550,74765 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-22 7,023 7,013 78,6 78,6 552,0078 551,2218 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-25 7,04 7,03 78,34 78,34 551,5136 550,7302 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-26 7,035 7,025 77,94 77,94 548,3079 547,5285 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-27 7,085 7,075 76,46 76,46 541,7191 540,9545 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-28 7,085 7,075 76,04 76,04 538,7434 537,983 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-04-29 7,08 7,07 75,71 75,71 536,0268 535,2697 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-02 7,15 7,14 76,38 76,38 546,117 545,3532 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-03 7,178 7,168 76,72 76,72 550,69616 549,92896 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-04 7,11 7,1 76,82 76,82 546,1902 545,422 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-06 7,085 7,075 78,65 78,65 557,23525 556,44875 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-09 7,168 7,158 78,29 78,29 561,18272 560,39982 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-10 7,178 7,168 78,61 78,61 564,26258 563,47648 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-11 7,15 7,14 78,06 78,06 558,129 557,3484 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-12 7,243 7,233 78,26 78,26 566,83718 566,05458 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-13 7,265 7,255 77,15 77,15 560,49475 559,72325 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-17 7,313 7,303 77,69 77,69 568,14697 567,37007 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-18 7,3 7,29 78,72 78,72 574,656 573,8688 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-19 7,26 7,25 80,32 80,32 583,1232 582,32 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-20 7,28 7,27 80,32 80,32 584,7296 583,9264 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-23 7,32 7,31 80,77 80,77 591,2364 590,4287 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-24 7,295 7,285 80,76 80,76 589,1442 588,3366 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-25 7,298 7,288 80,4 80,4 586,7592 585,9552 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-26 7,33 7,32 80,6 80,6 590,798 589,992 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-27 7,338 7,328 81,98 81,98 601,56924 600,74944 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-30 7,338 7,328 81,83 81,83 600,46854 599,65024 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-05-31 7,403 7,393 81,55 81,55 603,71465 602,89915 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-01 7,428 7,418 82,04 82,04 609,39312 608,57272 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-02 7,473 7,463 82,7 82,7 618,0171 617,1901 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-03 7,438 7,428 83,2 83,2 618,8416 618,0096 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-07 7,448 7,438 83,33 83,33 620,64184 619,80854 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-08 7,435 7,425 82,69 82,69 614,80015 613,97325 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-09 7,523 7,513 81,88 81,88 615,98324 615,16444 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-10 7,525 7,515 82,86 82,86 623,5215 622,6929 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-13 7,643 7,633 82,56 82,56 631,00608 630,18048 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-14 7,663 7,653 83,14 83,14 637,10182 636,27042 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-15 7,693 7,683 83,78 83,78 644,51954 643,68174 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-16 7,678 7,668 84,39 84,39 647,94642 647,10252 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-17 7,643 7,633 85,36 85,36 652,40648 651,55288 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-20 7,543 7,533 84,72 84,72 639,04296 638,19576 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-21 7,648 7,638 84,5 84,5 646,256 645,411 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-22 7,608 7,598 84,58 84,58 643,48464 642,63884 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-27 7,73 7,72 82,9 82,9 640,817 639,988 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-28 7,76 7,75 84,01 84,01 651,9176 651,0775 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-29 7,833 7,823 84,97 84,97 665,57001 664,72031 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-06-30 7,823 7,813 85,39 85,39 668,00597 667,15207 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-01 7,858 7,848 84,95 84,95 667,5371 666,6876 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-04 7,945 7,935 85,58 85,58 679,9331 679,0773 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-05 7,963 7,953 85,93 85,93 684,26059 683,40129 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-06 7,895 7,885 87,16 87,16 688,1282 687,2566 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-07 7,878 7,868 86,25 86,25 679,4775 678,615 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-08 7,913 7,903 87,39 87,39 691,51707 690,64317 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-11 7,89 7,88 88,88 88,88 701,2632 700,3744 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-12 7,77 7,76 89,18 89,18 692,9286 692,0368 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-13 7,703 7,693 89,39 89,39 688,57117 687,67727 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-14 7,76 7,75 89,02 89,02 690,7952 689,905 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-15 7,76 7,75 88,23 88,23 684,6648 683,7825 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-18 7,78 7,77 88,32 88,32 687,1296 686,2464 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-19 7,878 7,868 88,13 88,13 694,28814 693,40684 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-20 7,818 7,808 89,46 89,46 699,39828 698,50368 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-21 7,775 7,765 90,12 90,12 700,683 699,7818 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-22 7,758 7,748 90,14 90,14 699,30612 698,40472 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-25 7,838 7,828 90,42 90,42 708,71196 707,80776 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-26 7,818 7,808 90,25 90,25 705,5745 704,672 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-27 7,905 7,895 90,03 90,03 711,68715 710,78685 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-28 7,848 7,838 90,8 90,8 712,5984 711,6904 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-07-29 7,748 7,738 91,99 91,99 712,73852 711,81862 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-01 7,72 7,71 92,29 92,29 712,4788 711,5559 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-02 7,7 7,69 92,39 92,39 711,403 710,4791 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-03 7,685 7,675 92,46 92,46 710,5551 709,6305 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-04 7,618 7,608 91,98 91,98 700,70364 699,78384 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-05 7,548 7,538 91,06 91,06 687,32088 686,41028 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-08 7,558 7,548 90,6 90,6 684,7548 683,8488 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-09 7,548 7,538 89,96 89,96 679,01808 678,11848 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-10 7,558 7,548 90,43 90,43 683,46994 682,56564 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-11 7,523 7,513 90,21 90,21 678,64983 677,74773 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-12 7,46 7,45 90 90 671,4 670,5 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-16 7,523 7,513 89,69 89,69 674,73787 673,84097 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-17 7,605 7,595 89,07 89,07 677,37735 676,48665 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-18 7,61 7,6 88,37 88,37 672,4957 671,612 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-19 7,698 7,688 88,72 88,72 682,96656 682,07936 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-22 7,69 7,68 89,14 89,14 685,4866 684,5952 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-23 7,663 7,653 88,89 88,89 681,16407 680,27517 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-24 7,673 7,663 88,57 88,57 679,59761 678,71191 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-25 7,588 7,578 88,83 88,83 674,04204 673,15374 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-26 7,578 7,568 88,42 88,42 670,04676 669,16256 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-29 7,573 7,563 87,8 87,8 664,9094 664,0314 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-30 7,633 7,623 88,62 88,62 676,43646 675,55026 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-08-31 7,668 7,658 89,04 89,04 682,75872 681,86832 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-01 7,568 7,558 91,23 91,23 690,42864 689,51634 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-02 7,435 7,425 90,55 90,55 673,23925 672,33375 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-05 7,41 7,4 90,14 90,14 667,9374 667,036 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-06 7,485 7,475 90,63 90,63 678,36555 677,45925 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-07 7,43 7,42 91,47 91,47 679,6221 678,7074 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-08 7,498 7,488 91,63 91,63 687,04174 686,12544 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-09 7,523 7,513 92 92 692,116 691,196 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-12 7,555 7,545 92,95 92,95 702,23725 701,30775 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-13 7,57 7,56 92,46 92,46 699,9222 698,9976 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-14 7,61 7,6 92,22 92,22 701,7942 700,872 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-15 7,658 7,648 91,82 91,82 703,15756 702,23936 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-16 7,613 7,603 91,88 91,88 699,48244 698,56364 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-19 7,698 7,688 92,53 92,53 712,29594 711,37064 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-20 7,688 7,678 92,31 92,31 709,67928 708,75618 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-21 7,663 7,653 90,36 90,36 692,42868 691,52508 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-22 7,648 7,638 89,77 89,77 686,56096 685,66326 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-23 7,733 7,723 89,9 89,9 695,1967 694,2977 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-26 7,798 7,788 91,3 91,3 711,9574 711,0444 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-27 7,825 7,815 91,95 91,95 719,50875 718,58925 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-28 7,81 7,8 92,06 92,06 718,9886 718,068 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-29 7,785 7,775 91,63 91,63 713,33955 712,42325 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-09-30 7,785 7,775 92,77 92,77 722,21445 721,28675 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-03 7,783 7,773 94,03 94,03 731,83549 730,89519 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-04 7,82 7,81 94,13 94,13 736,0966 735,1553 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-05 7,795 7,785 92,69 92,69 722,51855 721,59165 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-06 7,713 7,703 90,41 90,41 697,33233 696,42823 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-07 7,683 7,673 90,12 90,12 692,39196 691,49076 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-10 7,698 7,688 89,69 89,69 690,43362 689,53672 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-11 7,77 7,76 89,69 89,69 696,8913 695,9944 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-12 7,805 7,795 88,24 88,24 688,7132 687,8308 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-13 7,83 7,82 86,33 86,33 675,9639 675,1006 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-14 7,833 7,823 87,26 87,26 683,50758 682,63498 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-17 7,835 7,825 88,56 88,56 693,8676 692,982 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-18 7,893 7,883 88,18 88,18 696,00474 695,12294 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-19 7,96 7,95 86,39 86,39 687,6644 686,8005 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-20 7,93 7,92 88,66 88,66 703,0738 702,1872 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-21 7,883 7,873 87,98 87,98 693,54634 692,66654 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-24 7,995 7,985 89,29 89,29 713,87355 712,98065 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-25 7,99 7,98 90,16 90,16 720,3784 719,4768 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-26 7,868 7,858 90,27 90,27 710,24436 709,34166 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-27 7,868 7,858 88,94 88,94 699,77992 698,89052 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-28 7,825 7,815 87,86 87,86 687,5045 686,6259 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-10-31 7,905 7,895 89,87 89,87 710,42235 709,52365 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-02 7,98 7,97 90,58 90,58 722,8284 721,9226 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-03 8,01 8 93,05 93,05 745,3305 744,4 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-04 8,028 8,018 92,22 92,22 740,34216 739,41996 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-07 8,135 8,125 91,86 91,86 747,2811 746,3625 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-08 8,17 8,16 91,41 91,41 746,8197 745,9056 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-09 8,12 8,11 91,45 91,45 742,574 741,6595 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-10 8,173 8,163 91,65 91,65 749,05545 748,13895 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-11 8,235 8,225 92,32 92,32 760,2552 759,332 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-14 8,133 8,123 92,62 92,62 753,27846 752,35226 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-15 8,185 8,175 91,84 91,84 751,7104 750,792 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-16 8,21 8,2 91,27 91,27 749,3267 748,414 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-17 8,258 8,248 92,34 92,34 762,54372 761,62032 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-18 8,223 8,213 93,86 93,86 771,81078 770,87218 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-21 8,123 8,113 93,45 93,45 759,09435 758,15985 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-22 8,15 8,14 95,11 95,11 775,1465 774,1954 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-23 8,048 8,038 95,85 95,85 771,4008 770,4423 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-24 8,053 8,043 95,81 95,81 771,55793 770,59983 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-25 8,078 8,068 95,78 95,78 773,71084 772,75304 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-28 8,118 8,108 95,04 95,04 771,53472 770,58432 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-29 8,015 8,005 94,5 94,5 757,4175 756,4725 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-11-30 8,088 8,078 94,69 94,69 765,85272 764,90582 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-01 8,083 8,073 96,26 96,26 778,06958 777,10698 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-02 8,103 8,093 96,57 96,57 782,50671 781,54101 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-05 8,045 8,035 96,88 96,88 779,3996 778,4308 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-06 7,993 7,983 96,91 96,91 774,60163 773,63253 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-07 8,015 8,005 96,52 96,52 773,6078 772,6426 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-08 7,988 7,978 96,02 96,02 767,00776 766,04756 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-12 7,953 7,943 97,15 97,15 772,63395 771,66245 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-13 7,905 7,895 97,21 97,21 768,44505 767,47295 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-14 7,848 7,838 97,67 97,67 766,51416 765,53746 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-15 7,858 7,848 96,76 96,76 760,34008 759,37248 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-16 7,903 7,893 96,15 96,15 759,87345 758,91195 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-19 7,865 7,855 95,28 95,28 749,3772 748,4244 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-20 7,848 7,838 94,52 94,52 741,79296 740,84776 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-21 7,948 7,938 95,5 95,5 759,034 758,079 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-22 7,98 7,97 96,27 96,27 768,2346 767,2719 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-23 7,955 7,945 96,76 96,76 769,7258 768,7582 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-27 8,01 8 96,94 96,94 776,4894 775,52 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-28 7,915 7,905 95,51 95,51 755,96165 755,00655 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-29 7,938 7,928 95,89 95,89 761,17482 760,21592 625236 BlackRock (Channel Islands) Limited MLIIF US Opportunities Fund USD 2005-12-30 7,958 7,948 95,24 95,24 757,91992 756,96752 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-03 6,668 6,658 13,58 13,58 90,55144 90,41564 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-04 6,728 6,718 13,36 13,36 89,88608 89,75248 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-05 6,828 6,818 13,15 13,15 89,7882 89,6567 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-07 6,87 6,86 13,09 13,09 89,9283 89,7974 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-10 6,96091 6,95091 13,18 13,18 91,7447938 91,6129938 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-11 6,96091 6,95091 13,18 13,18 91,7447938 91,6129938 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-12 6,913 6,903 13,26 13,26 91,66638 91,53378 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-13 6,843 6,833 13,59 13,59 92,99637 92,86047 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-14 6,915 6,905 13,67 13,67 94,52805 94,39135 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-17 6,915 6,905 13,8 13,8 95,427 95,289 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-18 6,968 6,958 14 14 97,552 97,412 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-19 6,91 6,9 13,94 13,94 96,3254 96,186 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-20 6,96 6,95 13,66 13,66 95,0736 94,937 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-21 6,978 6,968 13,81 13,81 96,36618 96,22808 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-24 6,933 6,923 13,97 13,97 96,85401 96,71431 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-25 6,95 6,94 14,07 14,07 97,7865 97,6458 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-26 6,995 6,985 13,94 13,94 97,5103 97,3709 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-27 6,93 6,92 14,1 14,1 97,713 97,572 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-28 6,985 6,975 14,08 14,08 98,3488 98,208 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-01-31 6,998 6,988 13,94 13,94 97,55212 97,41272 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-01 6,993 6,983 14,22 14,22 99,44046 99,29826 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-02 6,953 6,943 14,38 14,38 99,98414 99,84034 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-03 6,968 6,958 14,48 14,48 100,89664 100,75184 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-04 7,01 7 14,51 14,51 101,7151 101,57 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-07 7,065 7,055 14,62 14,62 103,2903 103,1441 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-08 7,123 7,113 14,43 14,43 102,78489 102,64059 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-09 7,1 7,09 14,51 14,51 103,021 102,8759 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-10 7,088 7,078 14,68 14,68 104,05184 103,90504 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-11 7,068 7,058 14,91 14,91 105,38388 105,23478 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-14 7,03 7,02 15,22 15,22 106,9966 106,8444 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-15 7,005 6,995 15,26 15,26 106,8963 106,7437 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-16 6,973 6,963 15,32 15,32 106,82636 106,67316 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-17 6,97 6,96 15,63 15,63 108,9411 108,7848 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-18 6,965 6,955 15,64 15,64 108,9326 108,7762 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-21 6,978 6,968 15,71 15,71 109,62438 109,46728 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-22 6,905 6,895 15,9 15,9 109,7895 109,6305 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-23 6,895 6,885 15,78 15,78 108,8031 108,6453 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-24 6,858 6,848 15,95 15,95 109,3851 109,2256 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-25 6,885 6,875 16,15 16,15 111,19275 111,03125 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-02-28 6,828 6,818 16,67 16,67 113,82276 113,65606 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-01 6,87 6,86 16,28 16,28 111,8436 111,6808 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-02 6,888 6,878 16,22 16,22 111,72336 111,56116 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-03 6,903 6,893 16,65 16,65 114,93495 114,76845 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-04 6,9 6,89 16,65 16,65 114,885 114,7185 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-07 6,84 6,83 16,83 16,83 115,1172 114,9489 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-08 6,825 6,815 16,81 16,81 114,72825 114,56015 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-09 6,76 6,75 16,92 16,92 114,3792 114,21 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-10 6,745 6,735 16,25 16,25 109,60625 109,44375 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-11 6,765 6,755 16,26 16,26 109,9989 109,8363 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-14 6,76 6,75 16,14 16,14 109,1064 108,945 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-15 6,815 6,805 16,41 16,41 111,83415 111,67005 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-16 6,81 6,8 16,1 16,1 109,641 109,48 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-17 6,795 6,785 16,43 16,43 111,64185 111,47755 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-18 6,828 6,818 16,54 16,54 112,93512 112,76972 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-21 6,908 6,898 16,54 16,54 114,25832 114,09292 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-22 6,928 6,918 16,41 16,41 113,68848 113,52438 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-23 6,973 6,963 15,98 15,98 111,42854 111,26874 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-24 7,008 6,998 16,04 16,04 112,40832 112,24792 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-29 7,055 7,045 15,8 15,8 111,469 111,311 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-30 7,053 7,043 15,58 15,58 109,88574 109,72994 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-03-31 7,065 7,055 15,94 15,94 112,6161 112,4567 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-01 7,07 7,06 16,42 16,42 116,0894 115,9252 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-04 7,113 7,103 16,62 16,62 118,21806 118,05186 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-05 7,163 7,153 16,41 16,41 117,54483 117,38073 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-06 7,125 7,115 16,38 16,38 116,7075 116,5437 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-07 7,083 7,073 16,69 16,69 118,21527 118,04837 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-08 7,153 7,143 16,41 16,41 117,38073 117,21663 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-11 7,098 7,088 16,14 16,14 114,56172 114,40032 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-12 7,048 7,038 16,24 16,24 114,45952 114,29712 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-13 7,075 7,065 15,88 15,88 112,351 112,1922 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-14 7,12 7,11 15,57 15,57 110,8584 110,7027 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-15 7,17 7,16 15,25 15,25 109,3425 109,19 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-18 7,08 7,07 14,82 14,82 104,9256 104,7774 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-19 7,068 7,058 15,41 15,41 108,91788 108,76378 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-20 7,043 7,033 15,53 15,53 109,37779 109,22249 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-21 7,025 7,015 15,56 15,56 109,309 109,1534 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-22 7,023 7,013 15,84 15,84 111,24432 111,08592 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-25 7,04 7,03 16,05 16,05 112,992 112,8315 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-26 7,035 7,025 16,1 16,1 113,2635 113,1025 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-27 7,085 7,075 15,65 15,65 110,88025 110,72375 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-28 7,085 7,075 15,21 15,21 107,76285 107,61075 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-04-29 7,08 7,07 15,28 15,28 108,1824 108,0296 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-02 7,15 7,14 15,11 15,11 108,0365 107,8854 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-03 7,178 7,168 15,26 15,26 109,53628 109,38368 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-04 7,11 7,1 15,22 15,22 108,2142 108,062 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-06 7,085 7,075 15,63 15,63 110,73855 110,58225 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-09 7,168 7,158 15,62 15,62 111,96416 111,80796 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-10 7,178 7,168 15,68 15,68 112,55104 112,39424 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-11 7,15 7,14 15,38 15,38 109,967 109,8132 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-12 7,243 7,233 15,25 15,25 110,45575 110,30325 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-13 7,265 7,255 14,73 14,73 107,01345 106,86615 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-17 7,313 7,303 14,57 14,57 106,55041 106,40471 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-18 7,3 7,29 14,69 14,69 107,237 107,0901 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-19 7,26 7,25 14,63 14,63 106,2138 106,0675 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-20 7,28 7,27 14,8 14,8 107,744 107,596 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-23 7,32 7,31 14,71 14,71 107,6772 107,5301 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-24 7,295 7,285 14,96 14,96 109,1332 108,9836 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-25 7,298 7,288 14,94 14,94 109,03212 108,88272 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-26 7,33 7,32 15,22 15,22 111,5626 111,4104 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-27 7,338 7,328 15,44 15,44 113,29872 113,14432 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-30 7,338 7,328 15,56 15,56 114,17928 114,02368 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-05-31 7,403 7,393 15,43 15,43 114,22829 114,07399 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-01 7,428 7,418 15,6 15,6 115,8768 115,7208 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-02 7,473 7,463 15,63 15,63 116,80299 116,64669 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-03 7,438 7,428 15,77 15,77 117,29726 117,13956 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-07 7,448 7,438 15,89 15,89 118,34872 118,18982 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-08 7,435 7,425 15,76 15,76 117,1756 117,018 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-09 7,523 7,513 15,85 15,85 119,23955 119,08105 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-10 7,525 7,515 16,19 16,19 121,82975 121,66785 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-13 7,643 7,633 16,14 16,14 123,35802 123,19662 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-14 7,663 7,653 16,37 16,37 125,44331 125,27961 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-15 7,693 7,683 16,52 16,52 127,08836 126,92316 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-16 7,678 7,668 16,77 16,77 128,76006 128,59236 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-17 7,643 7,633 17,12 17,12 130,84816 130,67696 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-20 7,543 7,533 17,29 17,29 130,41847 130,24557 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-21 7,648 7,638 17,02 17,02 130,16896 129,99876 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-22 7,608 7,598 16,92 16,92 128,72736 128,55816 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-27 7,73 7,72 17,11 17,11 132,2603 132,0892 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-28 7,76 7,75 17,05 17,05 132,308 132,1375 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-29 7,833 7,823 16,94 16,94 132,69102 132,52162 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-06-30 7,823 7,813 16,94 16,94 132,52162 132,35222 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-01 7,858 7,848 16,93 16,93 133,03594 132,86664 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-04 7,945 7,935 17,23 17,23 136,89235 136,72005 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-05 7,963 7,953 17,43 17,43 138,79509 138,62079 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-06 7,895 7,885 17,75 17,75 140,13625 139,95875 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-07 7,878 7,868 17,46 17,46 137,54988 137,37528 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-08 7,913 7,903 17,83 17,83 141,08879 140,91049 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-11 7,89 7,88 17,61 17,61 138,9429 138,7668 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-12 7,77 7,76 17,86 17,86 138,7722 138,5936 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-13 7,703 7,693 18,07 18,07 139,19321 139,01251 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-14 7,76 7,75 17,96 17,96 139,3696 139,19 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-15 7,76 7,75 17,59 17,59 136,4984 136,3225 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-18 7,78 7,77 17,31 17,31 134,6718 134,4987 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-19 7,878 7,868 17,4 17,4 137,0772 136,9032 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-20 7,818 7,808 17,7 17,7 138,3786 138,2016 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-21 7,775 7,765 17,76 17,76 138,084 137,9064 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-22 7,758 7,748 17,92 17,92 139,02336 138,84416 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-25 7,838 7,828 18,14 18,14 142,18132 141,99992 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-26 7,818 7,808 18,2 18,2 142,2876 142,1056 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-27 7,905 7,895 18,3 18,3 144,6615 144,4785 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-28 7,848 7,838 18,3 18,3 143,6184 143,4354 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-07-29 7,748 7,738 18,56 18,56 143,80288 143,61728 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-01 7,72 7,71 18,61 18,61 143,6692 143,4831 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-02 7,7 7,69 18,9 18,9 145,53 145,341 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-03 7,685 7,675 19,19 19,19 147,47515 147,28325 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-04 7,618 7,608 19,06 19,06 145,19908 145,00848 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-05 7,548 7,538 19,14 19,14 144,46872 144,27732 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-08 7,558 7,548 19,31 19,31 145,94498 145,75188 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-09 7,548 7,538 19,32 19,32 145,82736 145,63416 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-10 7,558 7,548 19,48 19,48 147,22984 147,03504 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-11 7,523 7,513 19,72 19,72 148,35356 148,15636 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-12 7,46 7,45 19,73 19,73 147,1858 146,9885 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-16 7,523 7,513 19,14 19,14 143,99022 143,79882 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-17 7,605 7,595 18,96 18,96 144,1908 144,0012 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-18 7,61 7,6 18,44 18,44 140,3284 140,144 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-19 7,698 7,688 18,69 18,69 143,87562 143,68872 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-22 7,69 7,68 19,05 19,05 146,4945 146,304 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-23 7,663 7,653 19,04 19,04 145,90352 145,71312 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-24 7,673 7,663 19,01 19,01 145,86373 145,67363 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-25 7,588 7,578 19,16 19,16 145,38608 145,19448 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-26 7,578 7,568 19,18 19,18 145,34604 145,15424 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-29 7,573 7,563 19,25 19,25 145,78025 145,58775 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-30 7,633 7,623 19,33 19,33 147,54589 147,35259 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-08-31 7,668 7,658 19,81 19,81 151,90308 151,70498 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-01 7,568 7,558 20,49 20,49 155,06832 154,86342 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-02 7,435 7,425 20,4 20,4 151,674 151,47 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-05 7,41 7,4 20,26 20,26 150,1266 149,924 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-06 7,485 7,475 20,13 20,13 150,67305 150,47175 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-07 7,43 7,42 20,35 20,35 151,2005 150,997 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-08 7,498 7,488 20,47 20,47 153,48406 153,27936 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-09 7,523 7,513 20,57 20,57 154,74811 154,54241 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-12 7,555 7,545 20,72 20,72 156,5396 156,3324 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-13 7,57 7,56 20,45 20,45 154,8065 154,602 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-14 7,61 7,6 20,45 20,45 155,6245 155,42 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-15 7,658 7,648 20,87 20,87 159,82246 159,61376 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-16 7,613 7,603 20,73 20,73 157,81749 157,61019 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-19 7,698 7,688 21,24 21,24 163,50552 163,29312 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-20 7,688 7,678 21,41 21,41 164,60008 164,38598 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-21 7,663 7,653 21,56 21,56 165,21428 164,99868 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-22 7,648 7,638 21,75 21,75 166,344 166,1265 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-23 7,733 7,723 20,92 20,92 161,77436 161,56516 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-26 7,798 7,788 20,8 20,8 162,1984 161,9904 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-27 7,825 7,815 21,19 21,19 165,81175 165,59985 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-28 7,81 7,8 21,29 21,29 166,2749 166,062 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-29 7,785 7,775 21,67 21,67 168,70095 168,48425 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-09-30 7,785 7,775 21,57 21,57 167,92245 167,70675 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-03 7,783 7,773 21,66 21,66 168,57978 168,36318 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-04 7,82 7,81 21,4 21,4 167,348 167,134 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-05 7,795 7,785 20,89 20,89 162,83755 162,62865 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-06 7,713 7,703 19,5 19,5 150,4035 150,2085 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-07 7,683 7,673 19,6 19,6 150,5868 150,3908 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-10 7,698 7,688 19,65 19,65 151,2657 151,0692 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-11 7,77 7,76 19,85 19,85 154,2345 154,036 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-12 7,805 7,795 20 20 156,1 155,9 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-13 7,83 7,82 19,04 19,04 149,0832 148,8928 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-14 7,833 7,823 18,76 18,76 146,94708 146,75948 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-17 7,835 7,825 19,44 19,44 152,3124 152,118 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-18 7,893 7,883 19,36 19,36 152,80848 152,61488 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-19 7,96 7,95 18,41 18,41 146,5436 146,3595 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-20 7,93 7,92 18,89 18,89 149,7977 149,6088 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-21 7,883 7,873 18,26 18,26 143,94358 143,76098 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-24 7,995 7,985 18,6 18,6 148,707 148,521 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-25 7,99 7,98 19,25 19,25 153,8075 153,615 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-26 7,868 7,858 19,49 19,49 153,34732 153,15242 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-27 7,868 7,858 19,53 19,53 153,66204 153,46674 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-28 7,825 7,815 18,98 18,98 148,5185 148,3287 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-10-31 7,905 7,895 19,66 19,66 155,4123 155,2157 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-02 7,98 7,97 19,7 19,7 157,206 157,009 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-03 8,01 8 20,35 20,35 163,0035 162,8 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-04 8,028 8,018 20,07 20,07 161,12196 160,92126 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-07 8,135 8,125 19,54 19,54 158,9579 158,7625 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-08 8,17 8,16 19,37 19,37 158,2529 158,0592 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-09 8,12 8,11 19,43 19,43 157,7716 157,5773 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-10 8,173 8,163 18,99 18,99 155,20527 155,01537 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-11 8,235 8,225 18,59 18,59 153,08865 152,90275 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-14 8,133 8,123 19,01 19,01 154,60833 154,41823 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-15 8,185 8,175 18,81 18,81 153,95985 153,77175 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-16 8,21 8,2 18,92 18,92 155,3332 155,144 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-17 8,258 8,248 19,66 19,66 162,35228 162,15568 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-18 8,223 8,213 19,39 19,39 159,44397 159,25007 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-21 8,123 8,113 19,44 19,44 157,91112 157,71672 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-22 8,15 8,14 20 20 163 162,8 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-23 8,048 8,038 20,03 20,03 161,20144 161,00114 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-24 8,053 8,043 20,22 20,22 162,83166 162,62946 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-25 8,078 8,068 20,3 20,3 163,9834 163,7804 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-28 8,118 8,108 19,99 19,99 162,27882 162,07892 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-29 8,015 8,005 19,77 19,77 158,45655 158,25885 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-11-30 8,088 8,078 19,74 19,74 159,65712 159,45972 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-01 8,083 8,073 20,16 20,16 162,95328 162,75168 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-02 8,103 8,093 20,64 20,64 167,24592 167,03952 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-05 8,045 8,035 20,97 20,97 168,70365 168,49395 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-06 7,993 7,983 20,74 20,74 165,77482 165,56742 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-07 8,015 8,005 21,17 21,17 169,67755 169,46585 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-08 7,988 7,978 21,05 21,05 168,1474 167,9369 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-12 7,953 7,943 21,32 21,32 169,55796 169,34476 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-13 7,905 7,895 21,67 21,67 171,30135 171,08465 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-14 7,848 7,838 21,54 21,54 169,04592 168,83052 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-15 7,858 7,848 21,51 21,51 169,02558 168,81048 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-16 7,903 7,893 21,21 21,21 167,62263 167,41053 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-19 7,865 7,855 21,11 21,11 166,03015 165,81905 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-20 7,848 7,838 21,04 21,04 165,12192 164,91152 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-21 7,948 7,938 21,16 21,16 168,17968 167,96808 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-22 7,98 7,97 21,22 21,22 169,3356 169,1234 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-23 7,955 7,945 20,82 20,82 165,6231 165,4149 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-27 8,01 8 20,73 20,73 166,0473 165,84 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-28 7,915 7,905 20,54 20,54 162,5741 162,3687 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-29 7,938 7,928 20,64 20,64 163,84032 163,63392 517748 BlackRock (Channel Islands) Limited MLIIF World Energy Fund USD 2005-12-30 7,958 7,948 20,6 20,6 163,9348 163,7288 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-03 6,668 6,658 21,35 21,35 142,3618 142,1483 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-04 6,728 6,718 21,25 21,25 142,97 142,7575 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-05 6,828 6,818 20,83 20,83 142,22724 142,01894 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-07 6,87 6,86 20,86 20,86 143,3082 143,0996 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-10 6,96091 6,95091 20,75 20,75 144,4388825 144,2313825 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-11 6,96091 6,95091 20,77 20,77 144,5781007 144,3704007 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-12 6,913 6,903 20,7 20,7 143,0991 142,8921 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-13 6,843 6,833 20,87 20,87 142,81341 142,60471 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-14 6,915 6,905 20,81 20,81 143,90115 143,69305 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-17 6,915 6,905 20,9 20,9 144,5235 144,3145 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-18 6,968 6,958 20,83 20,83 145,14344 144,93514 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-19 6,91 6,9 21,1 21,1 145,801 145,59 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-20 6,96 6,95 20,85 20,85 145,116 144,9075 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-21 6,978 6,968 20,9 20,9 145,8402 145,6312 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-24 6,933 6,923 20,83 20,83 144,41439 144,20609 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-25 6,95 6,94 20,84 20,84 144,838 144,6296 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-26 6,995 6,985 20,87 20,87 145,98565 145,77695 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-27 6,93 6,92 21 21 145,53 145,32 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-28 6,985 6,975 20,94 20,94 146,2659 146,0565 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-01-31 6,998 6,988 21,01 21,01 147,02798 146,81788 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-01 6,993 6,983 21,15 21,15 147,90195 147,69045 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-02 6,953 6,943 21,27 21,27 147,89031 147,67761 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-03 6,968 6,958 21,35 21,35 148,7668 148,5533 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-04 7,01 7 21,36 21,36 149,7336 149,52 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-07 7,065 7,055 21,41 21,41 151,26165 151,04755 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-08 7,123 7,113 21,31 21,31 151,79113 151,57803 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-09 7,1 7,09 21,34 21,34 151,514 151,3006 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-10 7,088 7,078 21,32 21,32 151,11616 150,90296 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-11 7,068 7,058 21,43 21,43 151,46724 151,25294 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-14 7,03 7,02 21,66 21,66 152,2698 152,0532 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-15 7,005 6,995 21,69 21,69 151,93845 151,72155 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-16 6,973 6,963 21,65 21,65 150,96545 150,74895 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-17 6,97 6,96 21,7 21,7 151,249 151,032 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-18 6,965 6,955 21,61 21,61 150,51365 150,29755 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-21 6,978 6,968 21,48 21,48 149,88744 149,67264 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-22 6,905 6,895 21,5 21,5 148,4575 148,2425 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-23 6,895 6,885 21,29 21,29 146,79455 146,58165 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-24 6,858 6,848 21,33 21,33 146,28114 146,06784 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-25 6,885 6,875 21,35 21,35 146,99475 146,78125 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-02-28 6,828 6,818 21,65 21,65 147,8262 147,6097 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-01 6,87 6,86 21,72 21,72 149,2164 148,9992 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-02 6,888 6,878 21,73 21,73 149,67624 149,45894 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-03 6,903 6,893 21,96 21,96 151,58988 151,37028 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-04 6,9 6,89 22,12 22,12 152,628 152,4068 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-07 6,84 6,83 22,18 22,18 151,7112 151,4894 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-08 6,825 6,815 22,18 22,18 151,3785 151,1567 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-09 6,76 6,75 22,04 22,04 148,9904 148,77 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-10 6,745 6,735 21,98 21,98 148,2551 148,0353 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-11 6,765 6,755 22,06 22,06 149,2359 149,0153 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-14 6,76 6,75 21,91 21,91 148,1116 147,8925 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-15 6,815 6,805 21,91 21,91 149,31665 149,09755 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-16 6,81 6,8 21,76 21,76 148,1856 147,968 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-17 6,795 6,785 21,74 21,74 147,7233 147,5059 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-18 6,828 6,818 21,56 21,56 147,21168 146,99608 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-21 6,908 6,898 21,34 21,34 147,41672 147,20332 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-22 6,928 6,918 21,1 21,1 146,1808 145,9698 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-23 6,973 6,963 20,87 20,87 145,52651 145,31781 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-24 7,008 6,998 20,82 20,82 145,90656 145,69836 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-29 7,055 7,045 20,64 20,64 145,6152 145,4088 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-30 7,053 7,043 20,51 20,51 144,65703 144,45193 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-03-31 7,065 7,055 20,81 20,81 147,02265 146,81455 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-01 7,07 7,06 21,07 21,07 148,9649 148,7542 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-04 7,113 7,103 20,68 20,68 147,09684 146,89004 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-05 7,163 7,153 20,89 20,89 149,63507 149,42617 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-06 7,125 7,115 20,84 20,84 148,485 148,2766 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-07 7,083 7,073 20,89 20,89 147,96387 147,75497 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-08 7,153 7,143 20,91 20,91 149,56923 149,36013 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-11 7,098 7,088 20,86 20,86 148,06428 147,85568 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-12 7,048 7,038 20,81 20,81 146,66888 146,46078 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-13 7,075 7,065 21,01 21,01 148,64575 148,43565 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-14 7,12 7,11 20,6 20,6 146,672 146,466 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-15 7,17 7,16 20,36 20,36 145,9812 145,7776 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-18 7,08 7,07 20,12 20,12 142,4496 142,2484 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-19 7,068 7,058 20,42 20,42 144,32856 144,12436 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-20 7,043 7,033 20,37 20,37 143,46591 143,26221 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-21 7,025 7,015 20,31 20,31 142,67775 142,47465 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-22 7,023 7,013 20,41 20,41 143,33943 143,13533 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-25 7,04 7,03 20,4 20,4 143,616 143,412 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-26 7,035 7,025 20,38 20,38 143,3733 143,1695 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-27 7,085 7,075 20,12 20,12 142,5502 142,349 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-28 7,085 7,075 20,12 20,12 142,5502 142,349 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-04-29 7,08 7,07 20,19 20,19 142,9452 142,7433 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-02 7,15 7,14 20,38 20,38 145,717 145,5132 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-03 7,178 7,168 20,36 20,36 146,14408 145,94048 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-04 7,11 7,1 20,43 20,43 145,2573 145,053 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-06 7,085 7,075 20,61 20,61 146,02185 145,81575 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-09 7,168 7,158 20,58 20,58 147,51744 147,31164 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-10 7,178 7,168 20,59 20,59 147,79502 147,58912 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-11 7,15 7,14 20,47 20,47 146,3605 146,1558 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-12 7,243 7,233 20,47 20,47 148,26421 148,05951 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-13 7,265 7,255 20,18 20,18 146,6077 146,4059 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-17 7,313 7,303 20,27 20,27 148,23451 148,03181 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-18 7,3 7,29 20,49 20,49 149,577 149,3721 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-19 7,26 7,25 20,87 20,87 151,5162 151,3075 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-20 7,28 7,27 20,77 20,77 151,2056 150,9979 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-23 7,32 7,31 20,79 20,79 152,1828 151,9749 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-24 7,295 7,285 20,74 20,74 151,2983 151,0909 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-25 7,298 7,288 20,69 20,69 150,99562 150,78872 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-26 7,33 7,32 20,65 20,65 151,3645 151,158 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-27 7,338 7,328 20,75 20,75 152,2635 152,056 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-30 7,338 7,328 20,89 20,89 153,29082 153,08192 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-05-31 7,403 7,393 20,88 20,88 154,57464 154,36584 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-01 7,428 7,418 20,96 20,96 155,69088 155,48128 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-02 7,473 7,463 21,16 21,16 158,12868 157,91708 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-03 7,438 7,428 21,34 21,34 158,72692 158,51352 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-07 7,448 7,438 21,4 21,4 159,3872 159,1732 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-08 7,435 7,425 21,51 21,51 159,92685 159,71175 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-09 7,523 7,513 21,45 21,45 161,36835 161,15385 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-10 7,525 7,515 21,51 21,51 161,86275 161,64765 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-13 7,643 7,633 21,4 21,4 163,5602 163,3462 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-14 7,663 7,653 21,47 21,47 164,52461 164,30991 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-15 7,693 7,683 21,66 21,66 166,63038 166,41378 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-16 7,678 7,668 21,65 21,65 166,2287 166,0122 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-17 7,643 7,633 21,84 21,84 166,92312 166,70472 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-20 7,543 7,533 21,75 21,75 164,06025 163,84275 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-21 7,648 7,638 21,76 21,76 166,42048 166,20288 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-22 7,608 7,598 21,93 21,93 166,84344 166,62414 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-27 7,73 7,72 21,65 21,65 167,3545 167,138 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-28 7,76 7,75 21,7 21,7 168,392 168,175 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-29 7,833 7,823 21,84 21,84 171,07272 170,85432 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-06-30 7,823 7,813 22,12 22,12 173,04476 172,82356 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-01 7,858 7,848 22,18 22,18 174,29044 174,06864 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-04 7,945 7,935 22,08 22,08 175,4256 175,2048 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-05 7,963 7,953 22,04 22,04 175,50452 175,28412 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-06 7,895 7,885 22,08 22,08 174,3216 174,1008 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-07 7,878 7,868 21,8 21,8 171,7404 171,5224 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-08 7,913 7,903 21,91 21,91 173,37383 173,15473 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-11 7,89 7,88 22,25 22,25 175,5525 175,33 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-12 7,77 7,76 22,38 22,38 173,8926 173,6688 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-13 7,703 7,693 22,4 22,4 172,5472 172,3232 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-14 7,76 7,75 22,37 22,37 173,5912 173,3675 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-15 7,76 7,75 22,24 22,24 172,5824 172,36 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-18 7,78 7,77 22,2 22,2 172,716 172,494 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-19 7,878 7,868 22,42 22,42 176,62476 176,40056 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-20 7,818 7,808 22,6 22,6 176,6868 176,4608 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-21 7,775 7,765 22,74 22,74 176,8035 176,5761 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-22 7,758 7,748 22,85 22,85 177,2703 177,0418 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-25 7,838 7,828 22,85 22,85 179,0983 178,8698 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-26 7,818 7,808 22,74 22,74 177,78132 177,55392 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-27 7,905 7,895 22,78 22,78 180,0759 179,8481 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-28 7,848 7,838 22,91 22,91 179,79768 179,56858 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-07-29 7,748 7,738 23,24 23,24 180,06352 179,83112 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-01 7,72 7,71 23,34 23,34 180,1848 179,9514 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-02 7,7 7,69 23,39 23,39 180,103 179,8691 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-03 7,685 7,675 23,46 23,46 180,2901 180,0555 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-04 7,618 7,608 23,14 23,14 176,28052 176,04912 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-05 7,548 7,538 22,87 22,87 172,62276 172,39406 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-08 7,558 7,548 22,67 22,67 171,33986 171,11316 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-09 7,548 7,538 22,68 22,68 171,18864 170,96184 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-10 7,558 7,548 22,83 22,83 172,54914 172,32084 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-11 7,523 7,513 22,76 22,76 171,22348 170,99588 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-12 7,46 7,45 22,75 22,75 169,715 169,4875 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-16 7,523 7,513 22,76 22,76 171,22348 170,99588 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-17 7,605 7,595 22,49 22,49 171,03645 170,81155 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-18 7,61 7,6 22,31 22,31 169,7791 169,556 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-19 7,698 7,688 22,25 22,25 171,2805 171,058 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-22 7,69 7,68 22,45 22,45 172,6405 172,416 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-23 7,663 7,653 22,57 22,57 172,95391 172,72821 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-24 7,673 7,663 22,34 22,34 171,41482 171,19142 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-25 7,588 7,578 22,42 22,42 170,12296 169,89876 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-26 7,578 7,568 22,3 22,3 168,9894 168,7664 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-29 7,573 7,563 21,92 21,92 166,00016 165,78096 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-30 7,633 7,623 21,97 21,97 167,69701 167,47731 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-08-31 7,668 7,658 22,06 22,06 169,15608 168,93548 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-01 7,568 7,558 22,41 22,41 169,59888 169,37478 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-02 7,435 7,425 22,67 22,67 168,55145 168,32475 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-05 7,41 7,4 22,55 22,55 167,0955 166,87 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-06 7,485 7,475 22,53 22,53 168,63705 168,41175 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-07 7,43 7,42 22,69 22,69 168,5867 168,3598 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-08 7,498 7,488 22,52 22,52 168,85496 168,62976 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-09 7,523 7,513 22,44 22,44 168,81612 168,59172 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-12 7,555 7,545 22,76 22,76 171,9518 171,7242 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-13 7,57 7,56 22,76 22,76 172,2932 172,0656 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-14 7,61 7,6 22,85 22,85 173,8885 173,66 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-15 7,658 7,648 22,76 22,76 174,29608 174,06848 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-16 7,613 7,603 22,84 22,84 173,88092 173,65252 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-19 7,698 7,688 22,78 22,78 175,36044 175,13264 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-20 7,688 7,678 22,91 22,91 176,13208 175,90298 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-21 7,663 7,653 22,47 22,47 172,18761 171,96291 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-22 7,648 7,638 22,24 22,24 170,09152 169,86912 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-23 7,733 7,723 21,89 21,89 169,27537 169,05647 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-26 7,798 7,788 22,61 22,61 176,31278 176,08668 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-27 7,825 7,815 22,71 22,71 177,70575 177,47865 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-28 7,81 7,8 22,69 22,69 177,2089 176,982 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-29 7,785 7,775 22,6 22,6 175,941 175,715 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-09-30 7,785 7,775 22,61 22,61 176,01885 175,79275 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-03 7,783 7,773 22,61 22,61 175,97363 175,74753 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-04 7,82 7,81 22,69 22,69 177,4358 177,2089 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-05 7,795 7,785 22,36 22,36 174,2962 174,0726 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-06 7,713 7,703 22,08 22,08 170,30304 170,08224 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-07 7,683 7,673 21,99 21,99 168,94917 168,72927 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-10 7,698 7,688 22,09 22,09 170,04882 169,82792 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-11 7,77 7,76 22,21 22,21 172,5717 172,3496 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-12 7,805 7,795 21,93 21,93 171,16365 170,94435 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-13 7,83 7,82 21,3 21,3 166,779 166,566 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-14 7,833 7,823 21,47 21,47 168,17451 167,95981 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-17 7,835 7,825 21,39 21,39 167,59065 167,37675 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-18 7,893 7,883 21,34 21,34 168,43662 168,22322 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-19 7,96 7,95 20,89 20,89 166,2844 166,0755 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-20 7,93 7,92 21,29 21,29 168,8297 168,6168 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-21 7,883 7,873 21,36 21,36 168,38088 168,16728 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-24 7,995 7,985 21,5 21,5 171,8925 171,6775 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-25 7,99 7,98 21,57 21,57 172,3443 172,1286 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-26 7,868 7,858 21,46 21,46 168,84728 168,63268 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-27 7,868 7,858 21,14 21,14 166,32952 166,11812 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-28 7,825 7,815 20,9 20,9 163,5425 163,3335 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-10-31 7,905 7,895 21,35 21,35 168,77175 168,55825 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-02 7,98 7,97 21,73 21,73 173,4054 173,1881 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-03 8,01 8 22,04 22,04 176,5404 176,32 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-04 8,028 8,018 22 22 176,616 176,396 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-07 8,135 8,125 22,1 22,1 179,7835 179,5625 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-08 8,17 8,16 22,23 22,23 181,6191 181,3968 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-09 8,12 8,11 22,34 22,34 181,4008 181,1774 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-10 8,173 8,163 22,52 22,52 184,05596 183,83076 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-11 8,235 8,225 23,2 23,2 191,052 190,82 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-14 8,133 8,123 23,39 23,39 190,23087 189,99697 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-15 8,185 8,175 23,28 23,28 190,5468 190,314 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-16 8,21 8,2 23,28 23,28 191,1288 190,896 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-17 8,258 8,248 23,35 23,35 192,8243 192,5908 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-18 8,223 8,213 23,87 23,87 196,28301 196,04431 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-21 8,123 8,113 23,86 23,86 193,81478 193,57618 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-22 8,15 8,14 24,06 24,06 196,089 195,8484 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-23 8,048 8,038 25,16 25,16 202,48768 202,23608 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-24 8,053 8,043 25,26 25,26 203,41878 203,16618 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-25 8,078 8,068 25,39 25,39 205,10042 204,84652 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-28 8,118 8,108 25,03 25,03 203,19354 202,94324 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-29 8,015 8,005 24,66 24,66 197,6499 197,4033 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-11-30 8,088 8,078 24,58 24,58 198,80304 198,55724 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-01 8,083 8,073 24,68 24,68 199,48844 199,24164 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-02 8,103 8,093 24,75 24,75 200,54925 200,30175 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-05 8,045 8,035 24,72 24,72 198,8724 198,6252 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-06 7,993 7,983 24,66 24,66 197,10738 196,86078 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-07 8,015 8,005 24,56 24,56 196,8484 196,6028 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-08 7,988 7,978 24,44 24,44 195,22672 194,98232 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-12 7,953 7,943 25,25 25,25 200,81325 200,56075 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-13 7,905 7,895 25,42 25,42 200,9451 200,6909 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-14 7,848 7,838 25,63 25,63 201,14424 200,88794 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-15 7,858 7,848 25,89 25,89 203,44362 203,18472 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-16 7,903 7,893 25,72 25,72 203,26516 203,00796 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-19 7,865 7,855 26,01 26,01 204,56865 204,30855 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-20 7,848 7,838 26,04 26,04 204,36192 204,10152 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-21 7,948 7,938 25,98 25,98 206,48904 206,22924 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-22 7,98 7,97 26,2 26,2 209,076 208,814 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-23 7,955 7,945 26,52 26,52 210,9666 210,7014 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-27 8,01 8 26,66 26,66 213,5466 213,28 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-28 7,915 7,905 26,49 26,49 209,66835 209,40345 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-29 7,938 7,928 26,22 26,22 208,13436 207,87216 410258 BlackRock (Channel Islands) Limited MLIIF World Financials Fund USD 2005-12-30 7,958 7,948 26,22 26,22 208,65876 208,39656 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-03 6,668 6,658 22,6 22,6 150,6968 150,4708 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-04 6,728 6,718 22,11 22,11 148,75608 148,53498 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-05 6,828 6,818 21,57 21,57 147,27996 147,06426 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-07 6,87 6,86 21,66 21,66 148,8042 148,5876 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-10 6,96091 6,95091 21,66 21,66 150,7733106 150,5567106 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-11 6,96091 6,95091 21,86 21,86 152,1654926 151,9468926 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-12 6,913 6,903 21,74 21,74 150,28862 150,07122 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-13 6,843 6,833 21,77 21,77 148,97211 148,75441 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-14 6,915 6,905 21,56 21,56 149,0874 148,8718 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-17 6,915 6,905 21,48 21,48 148,5342 148,3194 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-18 6,968 6,958 21,41 21,41 149,18488 148,97078 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-19 6,91 6,9 21,75 21,75 150,2925 150,075 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-20 6,96 6,95 21,45 21,45 149,292 149,0775 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-21 6,978 6,968 21,55 21,55 150,3759 150,1604 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-24 6,933 6,923 22 22 152,526 152,306 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-25 6,95 6,94 21,7 21,7 150,815 150,598 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-26 6,995 6,985 21,51 21,51 150,46245 150,24735 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-27 6,93 6,92 21,4 21,4 148,302 148,088 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-28 6,985 6,975 21,52 21,52 150,3172 150,102 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-01-31 6,998 6,988 21,46 21,46 150,17708 149,96248 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-01 6,993 6,983 21,56 21,56 150,76908 150,55348 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-02 6,953 6,943 21,61 21,61 150,25433 150,03823 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-03 6,968 6,958 21,38 21,38 148,97584 148,76204 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-04 7,01 7 21,3 21,3 149,313 149,1 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-07 7,065 7,055 21,16 21,16 149,4954 149,2838 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-08 7,123 7,113 20,52 20,52 146,16396 145,95876 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-09 7,1 7,09 20,72 20,72 147,112 146,9048 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-10 7,088 7,078 21,11 21,11 149,62768 149,41658 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-11 7,068 7,058 21,72 21,72 153,51696 153,29976 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-14 7,03 7,02 22,22 22,22 156,2066 155,9844 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-15 7,005 6,995 22,11 22,11 154,88055 154,65945 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-16 6,973 6,963 22,02 22,02 153,54546 153,32526 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-17 6,97 6,96 22,17 22,17 154,5249 154,3032 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-18 6,965 6,955 22,29 22,29 155,24985 155,02695 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-21 6,978 6,968 22,38 22,38 156,16764 155,94384 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-22 6,905 6,895 22,79 22,79 157,36495 157,13705 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-23 6,895 6,885 22,75 22,75 156,86125 156,63375 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-24 6,858 6,848 22,99 22,99 157,66542 157,43552 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-25 6,885 6,875 22,59 22,59 155,53215 155,30625 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-02-28 6,828 6,818 22,84 22,84 155,95152 155,72312 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-01 6,87 6,86 22,67 22,67 155,7429 155,5162 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-02 6,888 6,878 22,32 22,32 153,74016 153,51696 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-03 6,903 6,893 22,61 22,61 156,07683 155,85073 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-04 6,9 6,89 22,68 22,68 156,492 156,2652 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-07 6,84 6,83 22,92 22,92 156,7728 156,5436 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-08 6,825 6,815 23,22 23,22 158,4765 158,2443 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-09 6,76 6,75 23,71 23,71 160,2796 160,0425 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-10 6,745 6,735 23,73 23,73 160,05885 159,82155 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-11 6,765 6,755 23,62 23,62 159,7893 159,5531 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-14 6,76 6,75 23,43 23,43 158,3868 158,1525 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-15 6,815 6,805 23,37 23,37 159,26655 159,03285 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-16 6,81 6,8 23,42 23,42 159,4902 159,256 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-17 6,795 6,785 23,26 23,26 158,0517 157,8191 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-18 6,828 6,818 23,24 23,24 158,68272 158,45032 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-21 6,908 6,898 22,84 22,84 157,77872 157,55032 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-22 6,928 6,918 22,8 22,8 157,9584 157,7304 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-23 6,973 6,963 22,04 22,04 153,68492 153,46452 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-24 7,008 6,998 21,68 21,68 151,93344 151,71664 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-29 7,055 7,045 21,39 21,39 150,90645 150,69255 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-30 7,053 7,043 21,13 21,13 149,02989 148,81859 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-03-31 7,065 7,055 21,67 21,67 153,09855 152,88185 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-01 7,07 7,06 21,69 21,69 153,3483 153,1314 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-04 7,113 7,103 21,51 21,51 153,00063 152,78553 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-05 7,163 7,153 21,44 21,44 153,57472 153,36032 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-06 7,125 7,115 21,44 21,44 152,76 152,5456 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-07 7,083 7,073 21,48 21,48 152,14284 151,92804 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-08 7,153 7,143 21,18 21,18 151,50054 151,28874 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-11 7,098 7,088 21,34 21,34 151,47132 151,25792 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-12 7,048 7,038 21,09 21,09 148,64232 148,43142 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-13 7,075 7,065 20,97 20,97 148,36275 148,15305 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-14 7,12 7,11 20,32 20,32 144,6784 144,4752 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-15 7,17 7,16 19,94 19,94 142,9698 142,7704 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-18 7,08 7,07 19,8 19,8 140,184 139,986 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-19 7,068 7,058 20,13 20,13 142,27884 142,07754 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-20 7,043 7,033 20,57 20,57 144,87451 144,66881 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-21 7,025 7,015 20,47 20,47 143,80175 143,59705 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-22 7,023 7,013 20,58 20,58 144,53334 144,32754 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-25 7,04 7,03 20,32 20,32 143,0528 142,8496 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-26 7,035 7,025 20,46 20,46 143,9361 143,7315 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-27 7,085 7,075 19,83 19,83 140,49555 140,29725 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-28 7,085 7,075 19,33 19,33 136,95305 136,75975 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-04-29 7,08 7,07 19,53 19,53 138,2724 138,0771 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-02 7,15 7,14 19,51 19,51 139,4965 139,3014 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-03 7,178 7,168 19,5 19,5 139,971 139,776 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-04 7,11 7,1 19,79 19,79 140,7069 140,509 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-06 7,085 7,075 19,97 19,97 141,48745 141,28775 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-09 7,168 7,158 19,98 19,98 143,21664 143,01684 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-10 7,178 7,168 20,03 20,03 143,77534 143,57504 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-11 7,15 7,14 19,66 19,66 140,569 140,3724 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-12 7,243 7,233 19,48 19,48 141,09364 140,89884 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-13 7,265 7,255 18,95 18,95 137,67175 137,48225 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-17 7,313 7,303 18,61 18,61 136,09493 135,90883 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-18 7,3 7,29 18,78 18,78 137,094 136,9062 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-19 7,26 7,25 19,07 19,07 138,4482 138,2575 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-20 7,28 7,27 18,95 18,95 137,956 137,7665 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-23 7,32 7,31 19,09 19,09 139,7388 139,5479 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-24 7,295 7,285 19,4 19,4 141,523 141,329 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-25 7,298 7,288 19,58 19,58 142,89484 142,69904 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-26 7,33 7,32 19,68 19,68 144,2544 144,0576 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-27 7,338 7,328 19,75 19,75 144,9255 144,728 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-30 7,338 7,328 19,87 19,87 145,80606 145,60736 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-05-31 7,403 7,393 19,52 19,52 144,50656 144,31136 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-01 7,428 7,418 19,8 19,8 147,0744 146,8764 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-02 7,473 7,463 20,3 20,3 151,7019 151,4989 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-03 7,438 7,428 20,2 20,2 150,2476 150,0456 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-07 7,448 7,438 20,26 20,26 150,89648 150,69388 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-08 7,435 7,425 20,13 20,13 149,66655 149,46525 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-09 7,523 7,513 19,9 19,9 149,7077 149,5087 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-10 7,525 7,515 19,98 19,98 150,3495 150,1497 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-13 7,643 7,633 20,48 20,48 156,52864 156,32384 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-14 7,663 7,653 20,64 20,64 158,16432 157,95792 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-15 7,693 7,683 20,72 20,72 159,39896 159,19176 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-16 7,678 7,668 21,14 21,14 162,31292 162,10152 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-17 7,643 7,633 21,65 21,65 165,47095 165,25445 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-20 7,543 7,533 21,71 21,71 163,75853 163,54143 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-21 7,648 7,638 21,22 21,22 162,29056 162,07836 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-22 7,608 7,598 21,36 21,36 162,50688 162,29328 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-27 7,73 7,72 21,46 21,46 165,8858 165,6712 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-28 7,76 7,75 21,3 21,3 165,288 165,075 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-29 7,833 7,823 21,36 21,36 167,31288 167,09928 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-06-30 7,823 7,813 21,75 21,75 170,15025 169,93275 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-01 7,858 7,848 21,53 21,53 169,18274 168,96744 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-04 7,945 7,935 21,38 21,38 169,8641 169,6503 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-05 7,963 7,953 21,1 21,1 168,0193 167,8083 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-06 7,895 7,885 21,19 21,19 167,29505 167,08315 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-07 7,878 7,868 21,42 21,42 168,74676 168,53256 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-08 7,913 7,903 21,4 21,4 169,3382 169,1242 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-11 7,89 7,88 21,49 21,49 169,5561 169,3412 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-12 7,77 7,76 21,87 21,87 169,9299 169,7112 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-13 7,703 7,693 21,69 21,69 167,07807 166,86117 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-14 7,76 7,75 21,62 21,62 167,7712 167,555 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-15 7,76 7,75 21,08 21,08 163,5808 163,37 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-18 7,78 7,77 21,06 21,06 163,8468 163,6362 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-19 7,878 7,868 20,89 20,89 164,57142 164,36252 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-20 7,818 7,808 21,19 21,19 165,66342 165,45152 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-21 7,775 7,765 21,28 21,28 165,452 165,2392 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-22 7,758 7,748 21,51 21,51 166,87458 166,65948 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-25 7,838 7,828 21,54 21,54 168,83052 168,61512 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-26 7,818 7,808 21,25 21,25 166,1325 165,92 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-27 7,905 7,895 21,21 21,21 167,66505 167,45295 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-28 7,848 7,838 21,07 21,07 165,35736 165,14666 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-07-29 7,748 7,738 21,34 21,34 165,34232 165,12892 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-01 7,72 7,71 21,42 21,42 165,3624 165,1482 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-02 7,7 7,69 21,52 21,52 165,704 165,4888 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-03 7,685 7,675 21,81 21,81 167,60985 167,39175 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-04 7,618 7,608 22,38 22,38 170,49084 170,26704 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-05 7,548 7,538 22,27 22,27 168,09396 167,87126 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-08 7,558 7,548 22,2 22,2 167,7876 167,5656 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-09 7,548 7,538 21,91 21,91 165,37668 165,15758 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-10 7,558 7,548 22,23 22,23 168,01434 167,79204 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-11 7,523 7,513 22,64 22,64 170,32072 170,09432 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-12 7,46 7,45 23,26 23,26 173,5196 173,287 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-16 7,523 7,513 23,08 23,08 173,63084 173,40004 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-17 7,605 7,595 22,85 22,85 173,77425 173,54575 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-18 7,61 7,6 22,35 22,35 170,0835 169,86 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-19 7,698 7,688 22,39 22,39 172,35822 172,13432 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-22 7,69 7,68 22,64 22,64 174,1016 173,8752 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-23 7,663 7,653 22,55 22,55 172,80065 172,57515 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-24 7,673 7,663 22,31 22,31 171,18463 170,96153 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-25 7,588 7,578 22,06 22,06 167,39128 167,17068 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-26 7,578 7,568 22,12 22,12 167,62536 167,40416 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-29 7,573 7,563 22,13 22,13 167,59049 167,36919 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-30 7,633 7,623 21,8 21,8 166,3994 166,1814 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-08-31 7,668 7,658 21,88 21,88 167,77584 167,55704 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-01 7,568 7,558 22,71 22,71 171,86928 171,64218 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-02 7,435 7,425 23,23 23,23 172,71505 172,48275 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-05 7,41 7,4 23,22 23,22 172,0602 171,828 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-06 7,485 7,475 23,11 23,11 172,97835 172,74725 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-07 7,43 7,42 23,15 23,15 172,0045 171,773 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-08 7,498 7,488 23,33 23,33 174,92834 174,69504 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-09 7,523 7,513 23,6 23,6 177,5428 177,3068 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-12 7,555 7,545 23,83 23,83 180,03565 179,79735 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-13 7,57 7,56 23,63 23,63 178,8791 178,6428 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-14 7,61 7,6 23,86 23,86 181,5746 181,336 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-15 7,658 7,648 24,54 24,54 187,92732 187,68192 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-16 7,613 7,603 25,29 25,29 192,53277 192,27987 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-19 7,698 7,688 25,78 25,78 198,45444 198,19664 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-20 7,688 7,678 25,76 25,76 198,04288 197,78528 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-21 7,663 7,653 25,72 25,72 197,09236 196,83516 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-22 7,648 7,638 25,74 25,74 196,85952 196,60212 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-23 7,733 7,723 25,33 25,33 195,87689 195,62359 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-26 7,798 7,788 25,16 25,16 196,19768 195,94608 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-27 7,825 7,815 25,62 25,62 200,4765 200,2203 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-28 7,81 7,8 25,68 25,68 200,5608 200,304 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-29 7,785 7,775 26,28 26,28 204,5898 204,327 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-09-30 7,785 7,775 26,52 26,52 206,4582 206,193 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-03 7,783 7,773 26,19 26,19 203,83677 203,57487 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-04 7,82 7,81 26,1 26,1 204,102 203,841 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-05 7,795 7,785 25,37 25,37 197,75915 197,50545 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-06 7,713 7,703 25,37 25,37 195,67881 195,42511 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-07 7,683 7,673 25,57 25,57 196,45431 196,19861 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-10 7,698 7,688 26,03 26,03 200,37894 200,11864 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-11 7,77 7,76 26,04 26,04 202,3308 202,0704 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-12 7,805 7,795 26,14 26,14 204,0227 203,7613 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-13 7,83 7,82 25,22 25,22 197,4726 197,2204 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-14 7,833 7,823 24,86 24,86 194,72838 194,47978 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-17 7,835 7,825 25,29 25,29 198,14715 197,89425 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-18 7,893 7,883 25,37 25,37 200,24541 199,99171 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-19 7,96 7,95 24,16 24,16 192,3136 192,072 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-20 7,93 7,92 24,21 24,21 191,9853 191,7432 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-21 7,883 7,873 23,7 23,7 186,8271 186,5901 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-24 7,995 7,985 24,24 24,24 193,7988 193,5564 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-25 7,99 7,98 24,79 24,79 198,0721 197,8242 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-26 7,868 7,858 25,27 25,27 198,82436 198,57166 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-27 7,868 7,858 24,81 24,81 195,20508 194,95698 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-28 7,825 7,815 24,46 24,46 191,3995 191,1549 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-10-31 7,905 7,895 24,79 24,79 195,96495 195,71705 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-02 7,98 7,97 24,6 24,6 196,308 196,062 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-03 8,01 8 25,09 25,09 200,9709 200,72 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-04 8,028 8,018 24,95 24,95 200,2986 200,0491 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-07 8,135 8,125 24,64 24,64 200,4464 200,2 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-08 8,17 8,16 24,59 24,59 200,9003 200,6544 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-09 8,12 8,11 24,75 24,75 200,97 200,7225 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-10 8,173 8,163 25,39 25,39 207,51247 207,25857 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-11 8,235 8,225 25,22 25,22 207,6867 207,4345 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-14 8,133 8,123 25,79 25,79 209,75007 209,49217 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-15 8,185 8,175 25,58 25,58 209,3723 209,1165 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-16 8,21 8,2 25,72 25,72 211,1612 210,904 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-17 8,258 8,248 26,65 26,65 220,0757 219,8092 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-18 8,223 8,213 26,68 26,68 219,38964 219,12284 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-21 8,123 8,113 27,22 27,22 221,10806 220,83586 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-22 8,15 8,14 27,28 27,28 222,332 222,0592 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-23 8,048 8,038 27,11 27,11 218,18128 217,91018 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-24 8,053 8,043 27,28 27,28 219,68584 219,41304 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-25 8,078 8,068 27,5 27,5 222,145 221,87 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-28 8,118 8,108 27,76 27,76 225,35568 225,07808 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-29 8,015 8,005 27,61 27,61 221,29415 221,01805 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-11-30 8,088 8,078 27,31 27,31 220,88328 220,61018 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-01 8,083 8,073 27,31 27,31 220,74673 220,47363 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-02 8,103 8,093 27,68 27,68 224,29104 224,01424 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-05 8,045 8,035 27,68 27,68 222,6856 222,4088 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-06 7,993 7,983 27,49 27,49 219,72757 219,45267 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-07 8,015 8,005 28,29 28,29 226,74435 226,46145 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-08 7,988 7,978 28,63 28,63 228,69644 228,41014 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-12 7,953 7,943 29,45 29,45 234,21585 233,92135 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-13 7,905 7,895 28,54 28,54 225,6087 225,3233 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-14 7,848 7,838 28,5 28,5 223,668 223,383 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-15 7,858 7,848 28,25 28,25 221,9885 221,706 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-16 7,903 7,893 28,31 28,31 223,73393 223,45083 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-19 7,865 7,855 28,77 28,77 226,27605 225,98835 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-20 7,848 7,838 28,51 28,51 223,74648 223,46138 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-21 7,948 7,938 28,06 28,06 223,02088 222,74028 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-22 7,98 7,97 28,65 28,65 228,627 228,3405 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-23 7,955 7,945 29,21 29,21 232,36555 232,07345 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-27 8,01 8 29,29 29,29 234,6129 234,32 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-28 7,915 7,905 29,48 29,48 233,3342 233,0394 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-29 7,938 7,928 29,75 29,75 236,1555 235,858 338590 BlackRock (Channel Islands) Limited MLIIF World Gold Fund USD 2005-12-30 7,958 7,948 29,91 29,91 238,02378 237,72468 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-03 6,668 6,658 12,35 12,35 82,3498 82,2263 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-04 6,728 6,718 12,18 12,18 81,94704 81,82524 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-05 6,828 6,818 11,94 11,94 81,52632 81,40692 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-07 6,87 6,86 12,06 12,06 82,8522 82,7316 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-10 6,96091 6,95091 12,1 12,1 84,227011 84,106011 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-11 6,96091 6,95091 11,99 11,99 83,4613109 83,3414109 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-12 6,913 6,903 11,95 11,95 82,61035 82,49085 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-13 6,843 6,833 12,05 12,05 82,45815 82,33765 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-14 6,915 6,905 11,93 11,93 82,49595 82,37665 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-17 6,915 6,905 11,91 11,91 82,35765 82,23855 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-18 6,968 6,958 11,97 11,97 83,40696 83,28726 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-19 6,91 6,9 12,05 12,05 83,2655 83,145 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-20 6,96 6,95 11,94 11,94 83,1024 82,983 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-21 6,978 6,968 11,84 11,84 82,61952 82,50112 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-24 6,933 6,923 11,78 11,78 81,67074 81,55294 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-25 6,95 6,94 11,74 11,74 81,593 81,4756 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-26 6,995 6,985 11,65 11,65 81,49175 81,37525 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-27 6,93 6,92 11,73 11,73 81,2889 81,1716 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-28 6,985 6,975 11,83 11,83 82,63255 82,51425 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-01-31 6,998 6,988 11,93 11,93 83,48614 83,36684 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-01 6,993 6,983 11,98 11,98 83,77614 83,65634 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-02 6,953 6,943 12,07 12,07 83,92271 83,80201 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-03 6,968 6,958 12,06 12,06 84,03408 83,91348 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-04 7,01 7 12,11 12,11 84,8911 84,77 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-07 7,065 7,055 12,13 12,13 85,69845 85,57715 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-08 7,123 7,113 12,14 12,14 86,47322 86,35182 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-09 7,1 7,09 12,1 12,1 85,91 85,789 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-10 7,088 7,078 11,95 11,95 84,7016 84,5821 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-11 7,068 7,058 11,94 11,94 84,39192 84,27252 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-14 7,03 7,02 12,06 12,06 84,7818 84,6612 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-15 7,005 6,995 12,05 12,05 84,41025 84,28975 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-16 6,973 6,963 11,99 11,99 83,60627 83,48637 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-17 6,97 6,96 12,19 12,19 84,9643 84,8424 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-18 6,965 6,955 12,08 12,08 84,1372 84,0164 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-21 6,978 6,968 12,02 12,02 83,87556 83,75536 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-22 6,905 6,895 11,95 11,95 82,51475 82,39525 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-23 6,895 6,885 11,77 11,77 81,15415 81,03645 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-24 6,858 6,848 11,77 11,77 80,71866 80,60096 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-25 6,885 6,875 11,94 11,94 82,2069 82,0875 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-02-28 6,828 6,818 11,77 11,77 80,36556 80,24786 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-01 6,87 6,86 11,69 11,69 80,3103 80,1934 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-02 6,888 6,878 11,7 11,7 80,5896 80,4726 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-03 6,903 6,893 11,8 11,8 81,4554 81,3374 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-04 6,9 6,89 11,75 11,75 81,075 80,9575 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-07 6,84 6,83 11,78 11,78 80,5752 80,4574 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-08 6,825 6,815 11,66 11,66 79,5795 79,4629 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-09 6,76 6,75 11,51 11,51 77,8076 77,6925 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-10 6,745 6,735 11,55 11,55 77,90475 77,78925 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-11 6,765 6,755 11,56 11,56 78,2034 78,0878 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-14 6,76 6,75 11,51 11,51 77,8076 77,6925 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-15 6,815 6,805 11,61 11,61 79,12215 79,00605 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-16 6,81 6,8 11,43 11,43 77,8383 77,724 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-17 6,795 6,785 11,29 11,29 76,71555 76,60265 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-18 6,828 6,818 11,31 11,31 77,22468 77,11158 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-21 6,908 6,898 11,35 11,35 78,4058 78,2923 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-22 6,928 6,918 11,36 11,36 78,70208 78,58848 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-23 6,973 6,963 11,29 11,29 78,72517 78,61227 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-24 7,008 6,998 11,33 11,33 79,40064 79,28734 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-29 7,055 7,045 11,39 11,39 80,35645 80,24255 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-30 7,053 7,043 11,25 11,25 79,34625 79,23375 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-03-31 7,065 7,055 11,35 11,35 80,18775 80,07425 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-01 7,07 7,06 11,39 11,39 80,5273 80,4134 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-04 7,113 7,103 11,15 11,15 79,30995 79,19845 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-05 7,163 7,153 11,3 11,3 80,9419 80,8289 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-06 7,125 7,115 11,49 11,49 81,86625 81,75135 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-07 7,083 7,073 11,5 11,5 81,4545 81,3395 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-08 7,153 7,143 11,62 11,62 83,11786 83,00166 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-11 7,098 7,088 11,53 11,53 81,83994 81,72464 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-12 7,048 7,038 11,43 11,43 80,55864 80,44434 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-13 7,075 7,065 11,58 11,58 81,9285 81,8127 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-14 7,12 7,11 11,39 11,39 81,0968 80,9829 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-15 7,17 7,16 11,36 11,36 81,4512 81,3376 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-18 7,08 7,07 11,24 11,24 79,5792 79,4668 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-19 7,068 7,058 11,32 11,32 80,00976 79,89656 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-20 7,043 7,033 11,38 11,38 80,14934 80,03554 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-21 7,025 7,015 11,44 11,44 80,366 80,2516 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-22 7,023 7,013 11,41 11,41 80,13243 80,01833 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-25 7,04 7,03 11,41 11,41 80,3264 80,2123 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-26 7,035 7,025 11,49 11,49 80,83215 80,71725 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-27 7,085 7,075 11,38 11,38 80,6273 80,5135 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-28 7,085 7,075 11,38 11,38 80,6273 80,5135 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-04-29 7,08 7,07 11,45 11,45 81,066 80,9515 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-02 7,15 7,14 11,55 11,55 82,5825 82,467 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-03 7,178 7,168 11,58 11,58 83,12124 83,00544 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-04 7,11 7,1 11,65 11,65 82,8315 82,715 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-06 7,085 7,075 11,81 11,81 83,67385 83,55575 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-09 7,168 7,158 11,88 11,88 85,15584 85,03704 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-10 7,178 7,168 11,86 11,86 85,13108 85,01248 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-11 7,15 7,14 11,92 11,92 85,228 85,1088 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-12 7,243 7,233 11,93 11,93 86,40899 86,28969 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-13 7,265 7,255 11,81 11,81 85,79965 85,68155 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-17 7,313 7,303 11,83 11,83 86,51279 86,39449 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-18 7,3 7,29 11,9 11,9 86,87 86,751 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-19 7,26 7,25 11,92 11,92 86,5392 86,42 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-20 7,28 7,27 11,91 11,91 86,7048 86,5857 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-23 7,32 7,31 11,95 11,95 87,474 87,3545 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-24 7,295 7,285 12,05 12,05 87,90475 87,78425 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-25 7,298 7,288 12 12 87,576 87,456 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-26 7,33 7,32 12,01 12,01 88,0333 87,9132 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-27 7,338 7,328 12,16 12,16 89,23008 89,10848 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-30 7,338 7,328 12,09 12,09 88,71642 88,59552 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-05-31 7,403 7,393 12,05 12,05 89,20615 89,08565 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-01 7,428 7,418 12,05 12,05 89,5074 89,3869 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-02 7,473 7,463 12,06 12,06 90,12438 90,00378 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-03 7,438 7,428 12,14 12,14 90,29732 90,17592 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-07 7,448 7,438 12,12 12,12 90,26976 90,14856 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-08 7,435 7,425 11,96 11,96 88,9226 88,803 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-09 7,523 7,513 11,97 11,97 90,05031 89,93061 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-10 7,525 7,515 12,01 12,01 90,37525 90,25515 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-13 7,643 7,633 11,96 11,96 91,41028 91,29068 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-14 7,663 7,653 12,03 12,03 92,18589 92,06559 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-15 7,693 7,683 12,05 12,05 92,70065 92,58015 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-16 7,678 7,668 12,12 12,12 93,05736 92,93616 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-17 7,643 7,633 12,22 12,22 93,39746 93,27526 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-20 7,543 7,533 12,17 12,17 91,79831 91,67661 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-21 7,648 7,638 12,24 12,24 93,61152 93,48912 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-22 7,608 7,598 12,26 12,26 93,27408 93,15148 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-27 7,73 7,72 12,1 12,1 93,533 93,412 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-28 7,76 7,75 12,12 12,12 94,0512 93,93 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-29 7,833 7,823 12,23 12,23 95,79759 95,67529 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-06-30 7,823 7,813 12,27 12,27 95,98821 95,86551 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-01 7,858 7,848 12,22 12,22 96,02476 95,90256 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-04 7,945 7,935 12,25 12,25 97,32625 97,20375 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-05 7,963 7,953 12,27 12,27 97,70601 97,58331 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-06 7,895 7,885 12,41 12,41 97,97695 97,85285 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-07 7,878 7,868 12,38 12,38 97,52964 97,40584 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-08 7,913 7,903 12,48 12,48 98,75424 98,62944 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-11 7,89 7,88 12,62 12,62 99,5718 99,4456 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-12 7,77 7,76 12,63 12,63 98,1351 98,0088 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-13 7,703 7,693 12,59 12,59 96,98077 96,85487 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-14 7,76 7,75 12,57 12,57 97,5432 97,4175 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-15 7,76 7,75 12,62 12,62 97,9312 97,805 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-18 7,78 7,77 12,72 12,72 98,9616 98,8344 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-19 7,878 7,868 12,72 12,72 100,20816 100,08096 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-20 7,818 7,808 12,9 12,9 100,8522 100,7232 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-21 7,775 7,765 12,67 12,67 98,50925 98,38255 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-22 7,758 7,748 12,73 12,73 98,75934 98,63204 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-25 7,838 7,828 12,73 12,73 99,77774 99,65044 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-26 7,818 7,808 12,79 12,79 99,99222 99,86432 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-27 7,905 7,895 12,83 12,83 101,42115 101,29285 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-28 7,848 7,838 12,96 12,96 101,71008 101,58048 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-07-29 7,748 7,738 13,02 13,02 100,87896 100,74876 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-01 7,72 7,71 13,14 13,14 101,4408 101,3094 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-02 7,7 7,69 13,2 13,2 101,64 101,508 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-03 7,685 7,675 13,21 13,21 101,51885 101,38675 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-04 7,618 7,608 13,22 13,22 100,70996 100,57776 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-05 7,548 7,538 13,11 13,11 98,95428 98,82318 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-08 7,558 7,548 13,04 13,04 98,55632 98,42592 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-09 7,548 7,538 12,97 12,97 97,89756 97,76786 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-10 7,558 7,548 13,09 13,09 98,93422 98,80332 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-11 7,523 7,513 13,1 13,1 98,5513 98,4203 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-12 7,46 7,45 13,11 13,11 97,8006 97,6695 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-16 7,523 7,513 13,1 13,1 98,5513 98,4203 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-17 7,605 7,595 13,04 13,04 99,1692 99,0388 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-18 7,61 7,6 13,05 13,05 99,3105 99,18 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-19 7,698 7,688 13,11 13,11 100,92078 100,78968 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-22 7,69 7,68 13,1 13,1 100,739 100,608 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-23 7,663 7,653 13,08 13,08 100,23204 100,10124 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-24 7,673 7,663 13,07 13,07 100,28611 100,15541 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-25 7,588 7,578 13,03 13,03 98,87164 98,74134 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-26 7,578 7,568 13 13 98,514 98,384 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-29 7,573 7,563 12,91 12,91 97,76743 97,63833 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-30 7,633 7,623 13 13 99,229 99,099 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-08-31 7,668 7,658 13,11 13,11 100,52748 100,39638 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-01 7,568 7,558 13,23 13,23 100,12464 99,99234 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-02 7,435 7,425 13,27 13,27 98,66245 98,52975 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-05 7,41 7,4 13,24 13,24 98,1084 97,976 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-06 7,485 7,475 13,26 13,26 99,2511 99,1185 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-07 7,43 7,42 13,37 13,37 99,3391 99,2054 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-08 7,498 7,488 13,4 13,4 100,4732 100,3392 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-09 7,523 7,513 13,33 13,33 100,28159 100,14829 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-12 7,555 7,545 13,34 13,34 100,7837 100,6503 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-13 7,57 7,56 13,27 13,27 100,4539 100,3212 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-14 7,61 7,6 13,2 13,2 100,452 100,32 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-15 7,658 7,648 13,23 13,23 101,31534 101,18304 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-16 7,613 7,603 13,21 13,21 100,56773 100,43563 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-19 7,698 7,688 13,18 13,18 101,45964 101,32784 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-20 7,688 7,678 13,17 13,17 101,25096 101,11926 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-21 7,663 7,653 12,96 12,96 99,31248 99,18288 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-22 7,648 7,638 12,93 12,93 98,88864 98,75934 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-23 7,733 7,723 12,96 12,96 100,21968 100,09008 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-26 7,798 7,788 13,03 13,03 101,60794 101,47764 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-27 7,825 7,815 13,07 13,07 102,27275 102,14205 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-28 7,81 7,8 13,08 13,08 102,1548 102,024 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-29 7,785 7,775 12,95 12,95 100,81575 100,68625 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-09-30 7,785 7,775 13,07 13,07 101,74995 101,61925 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-03 7,783 7,773 13,15 13,15 102,34645 102,21495 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-04 7,82 7,81 13,21 13,21 103,3022 103,1701 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-05 7,795 7,785 13,14 13,14 102,4263 102,2949 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-06 7,713 7,703 12,94 12,94 99,80622 99,67682 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-07 7,683 7,673 12,94 12,94 99,41802 99,28862 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-10 7,698 7,688 12,9 12,9 99,3042 99,1752 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-11 7,77 7,76 12,91 12,91 100,3107 100,1816 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-12 7,805 7,795 12,75 12,75 99,51375 99,38625 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-13 7,83 7,82 12,54 12,54 98,1882 98,0628 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-14 7,833 7,823 12,67 12,67 99,24411 99,11741 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-17 7,835 7,825 12,8 12,8 100,288 100,16 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-18 7,893 7,883 12,81 12,81 101,10933 100,98123 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-19 7,96 7,95 12,76 12,76 101,5696 101,442 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-20 7,93 7,92 12,84 12,84 101,8212 101,6928 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-21 7,883 7,873 12,78 12,78 100,74474 100,61694 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-24 7,995 7,985 12,84 12,84 102,6558 102,5274 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-25 7,99 7,98 12,84 12,84 102,5916 102,4632 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-26 7,868 7,858 12,82 12,82 100,86776 100,73956 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-27 7,868 7,858 12,63 12,63 99,37284 99,24654 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-28 7,825 7,815 12,53 12,53 98,04725 97,92195 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-10-31 7,905 7,895 12,66 12,66 100,0773 99,9507 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-02 7,98 7,97 12,62 12,62 100,7076 100,5814 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-03 8,01 8 12,81 12,81 102,6081 102,48 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-04 8,028 8,018 12,77 12,77 102,51756 102,38986 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-07 8,135 8,125 12,78 12,78 103,9653 103,8375 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-08 8,17 8,16 12,72 12,72 103,9224 103,7952 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-09 8,12 8,11 12,69 12,69 103,0428 102,9159 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-10 8,173 8,163 12,75 12,75 104,20575 104,07825 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-11 8,235 8,225 12,91 12,91 106,31385 106,18475 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-14 8,133 8,123 12,9 12,9 104,9157 104,7867 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-15 8,185 8,175 12,88 12,88 105,4228 105,294 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-16 8,21 8,2 12,9 12,9 105,909 105,78 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-17 8,258 8,248 12,97 12,97 107,10626 106,97656 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-18 8,223 8,213 13,08 13,08 107,55684 107,42604 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-21 8,123 8,113 13,07 13,07 106,16761 106,03691 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-22 8,15 8,14 13,14 13,14 107,091 106,9596 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-23 8,048 8,038 13,19 13,19 106,15312 106,02122 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-24 8,053 8,043 13,19 13,19 106,21907 106,08717 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-25 8,078 8,068 13,19 13,19 106,54882 106,41692 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-28 8,118 8,108 13,14 13,14 106,67052 106,53912 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-29 8,015 8,005 13,09 13,09 104,91635 104,78545 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-11-30 8,088 8,078 13,12 13,12 106,11456 105,98336 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-01 8,083 8,073 13,28 13,28 107,34224 107,20944 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-02 8,103 8,093 13,29 13,29 107,68887 107,55597 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-05 8,045 8,035 13,31 13,31 107,07895 106,94585 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-06 7,993 7,983 13,37 13,37 106,86641 106,73271 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-07 8,015 8,005 13,34 13,34 106,9201 106,7867 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-08 7,988 7,978 13,29 13,29 106,16052 106,02762 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-12 7,953 7,943 13,47 13,47 107,12691 106,99221 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-13 7,905 7,895 13,49 13,49 106,63845 106,50355 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-14 7,848 7,838 13,47 13,47 105,71256 105,57786 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-15 7,858 7,848 13,42 13,42 105,45436 105,32016 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-16 7,903 7,893 13,42 13,42 106,05826 105,92406 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-19 7,865 7,855 13,21 13,21 103,89665 103,76455 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-20 7,848 7,838 13,19 13,19 103,51512 103,38322 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-21 7,948 7,938 13,32 13,32 105,86736 105,73416 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-22 7,98 7,97 13,46 13,46 107,4108 107,2762 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-23 7,955 7,945 13,56 13,56 107,8698 107,7342 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-27 8,01 8 13,59 13,59 108,8559 108,72 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-28 7,915 7,905 13,49 13,49 106,77335 106,63845 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-29 7,938 7,928 13,5 13,5 107,163 107,028 374421 BlackRock (Channel Islands) Limited MLIIF World Healthscience Fund USD 2005-12-30 7,958 7,948 13,43 13,43 106,87594 106,74164 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-03 6,668 6,658 28,05 28,05 187,0374 186,7569 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-04 6,728 6,718 27,32 27,32 183,80896 183,53576 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-05 6,828 6,818 26,61 26,61 181,69308 181,42698 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-07 6,87 6,86 26,79 26,79 184,0473 183,7794 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-10 6,96091 6,95091 26,75 26,75 186,2043425 185,9368425 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-11 6,96091 6,95091 26,87 26,87 187,0396517 186,7709517 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-12 6,913 6,903 26,89 26,89 185,89057 185,62167 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-13 6,843 6,833 27,02 27,02 184,89786 184,62766 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-14 6,915 6,905 27,26 27,26 188,5029 188,2303 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-17 6,915 6,905 27,62 27,62 190,9923 190,7161 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-18 6,968 6,958 27,38 27,38 190,78384 190,51004 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-19 6,91 6,9 27,57 27,57 190,5087 190,233 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-20 6,96 6,95 27,02 27,02 188,0592 187,789 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-21 6,978 6,968 27,34 27,34 190,77852 190,50512 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-24 6,933 6,923 27,92 27,92 193,56936 193,29016 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-25 6,95 6,94 27,88 27,88 193,766 193,4872 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-26 6,995 6,985 27,75 27,75 194,11125 193,83375 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-27 6,93 6,92 27,76 27,76 192,3768 192,0992 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-28 6,985 6,975 27,73 27,73 193,69405 193,41675 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-01-31 6,998 6,988 27,71 27,71 193,91458 193,63748 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-01 6,993 6,983 28,24 28,24 197,48232 197,19992 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-02 6,953 6,943 28,68 28,68 199,41204 199,12524 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-03 6,968 6,958 28,44 28,44 198,16992 197,88552 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-04 7,01 7 28,37 28,37 198,8737 198,59 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-07 7,065 7,055 28,49 28,49 201,28185 200,99695 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-08 7,123 7,113 28,16 28,16 200,58368 200,30208 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-09 7,1 7,09 28,06 28,06 199,226 198,9454 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-10 7,088 7,078 28,16 28,16 199,59808 199,31648 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-11 7,068 7,058 28,5 28,5 201,438 201,153 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-14 7,03 7,02 29,06 29,06 204,2918 204,0012 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-15 7,005 6,995 29,11 29,11 203,91555 203,62445 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-16 6,973 6,963 29,23 29,23 203,82079 203,52849 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-17 6,97 6,96 29,72 29,72 207,1484 206,8512 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-18 6,965 6,955 29,9 29,9 208,2535 207,9545 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-21 6,978 6,968 30,12 30,12 210,17736 209,87616 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-22 6,905 6,895 30,68 30,68 211,8454 211,5386 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-23 6,895 6,885 30,46 30,46 210,0217 209,7171 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-24 6,858 6,848 30,67 30,67 210,33486 210,02816 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-25 6,885 6,875 31,03 31,03 213,64155 213,33125 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-02-28 6,828 6,818 31,59 31,59 215,69652 215,38062 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-01 6,87 6,86 31,16 31,16 214,0692 213,7576 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-02 6,888 6,878 30,36 30,36 209,11968 208,81608 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-03 6,903 6,893 30,85 30,85 212,95755 212,64905 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-04 6,9 6,89 30,94 30,94 213,486 213,1766 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-07 6,84 6,83 31,39 31,39 214,7076 214,3937 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-08 6,825 6,815 31,54 31,54 215,2605 214,9451 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-09 6,76 6,75 31,64 31,64 213,8864 213,57 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-10 6,745 6,735 31,55 31,55 212,80475 212,48925 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-11 6,765 6,755 31,3 31,3 211,7445 211,4315 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-14 6,76 6,75 31,03 31,03 209,7628 209,4525 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-15 6,815 6,805 31,09 31,09 211,87835 211,56745 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-16 6,81 6,8 31,14 31,14 212,0634 211,752 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-17 6,795 6,785 31,17 31,17 211,80015 211,48845 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-18 6,828 6,818 31,42 31,42 214,53576 214,22156 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-21 6,908 6,898 31,25 31,25 215,875 215,5625 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-22 6,928 6,918 30,97 30,97 214,56016 214,25046 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-23 6,973 6,963 29,95 29,95 208,84135 208,54185 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-24 7,008 6,998 29,59 29,59 207,36672 207,07082 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-29 7,055 7,045 29,13 29,13 205,51215 205,22085 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-30 7,053 7,043 28,84 28,84 203,40852 203,12012 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-03-31 7,065 7,055 29,66 29,66 209,5479 209,2513 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-01 7,07 7,06 30,1 30,1 212,807 212,506 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-04 7,113 7,103 29,54 29,54 210,11802 209,82262 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-05 7,163 7,153 29,47 29,47 211,09361 210,79891 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-06 7,125 7,115 29,57 29,57 210,68625 210,39055 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-07 7,083 7,073 29,74 29,74 210,64842 210,35102 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-08 7,153 7,143 29,89 29,89 213,80317 213,50427 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-11 7,098 7,088 29,83 29,83 211,73334 211,43504 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-12 7,048 7,038 29,71 29,71 209,39608 209,09898 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-13 7,075 7,065 29,26 29,26 207,0145 206,7219 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-14 7,12 7,11 28,58 28,58 203,4896 203,2038 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-15 7,17 7,16 27,91 27,91 200,1147 199,8356 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-18 7,08 7,07 27,46 27,46 194,4168 194,1422 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-19 7,068 7,058 28,14 28,14 198,89352 198,61212 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-20 7,043 7,033 28,5 28,5 200,7255 200,4405 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-21 7,025 7,015 28,39 28,39 199,43975 199,15585 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-22 7,023 7,013 28,49 28,49 200,08527 199,80037 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-25 7,04 7,03 28,32 28,32 199,3728 199,0896 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-26 7,035 7,025 28,31 28,31 199,16085 198,87775 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-27 7,085 7,075 27,75 27,75 196,60875 196,33125 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-28 7,085 7,075 27,04 27,04 191,5784 191,308 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-04-29 7,08 7,07 27,36 27,36 193,7088 193,4352 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-02 7,15 7,14 27,27 27,27 194,9805 194,7078 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-03 7,178 7,168 27,34 27,34 196,24652 195,97312 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-04 7,11 7,1 27,45 27,45 195,1695 194,895 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-06 7,085 7,075 28,01 28,01 198,45085 198,17075 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-09 7,168 7,158 28,07 28,07 201,20576 200,92506 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-10 7,178 7,168 27,83 27,83 199,76374 199,48544 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-11 7,15 7,14 27,43 27,43 196,1245 195,8502 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-12 7,243 7,233 27 27 195,561 195,291 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-13 7,265 7,255 26,1 26,1 189,6165 189,3555 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-17 7,313 7,303 26,06 26,06 190,57678 190,31618 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-18 7,3 7,29 26,53 26,53 193,669 193,4037 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-19 7,26 7,25 26,9 26,9 195,294 195,025 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-20 7,28 7,27 26,68 26,68 194,2304 193,9636 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-23 7,32 7,31 26,76 26,76 195,8832 195,6156 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-24 7,295 7,285 27,07 27,07 197,47565 197,20495 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-25 7,298 7,288 26,97 26,97 196,82706 196,55736 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-26 7,33 7,32 27,21 27,21 199,4493 199,1772 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-27 7,338 7,328 27,52 27,52 201,94176 201,66656 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-30 7,338 7,328 27,68 27,68 203,11584 202,83904 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-05-31 7,403 7,393 27,48 27,48 203,43444 203,15964 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-01 7,428 7,418 27,69 27,69 205,68132 205,40442 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-02 7,473 7,463 28,1 28,1 209,9913 209,7103 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-03 7,438 7,428 28,29 28,29 210,42102 210,13812 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-07 7,448 7,438 28,06 28,06 208,99088 208,71028 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-08 7,435 7,425 27,87 27,87 207,21345 206,93475 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-09 7,523 7,513 27,46 27,46 206,58158 206,30698 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-10 7,525 7,515 27,67 27,67 208,21675 207,94005 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-13 7,643 7,633 27,76 27,76 212,16968 211,89208 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-14 7,663 7,653 27,92 27,92 213,95096 213,67176 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-15 7,693 7,683 28,05 28,05 215,78865 215,50815 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-16 7,678 7,668 28,85 28,85 221,5103 221,2218 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-17 7,643 7,633 29,52 29,52 225,62136 225,32616 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-20 7,543 7,533 29,44 29,44 222,06592 221,77152 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-21 7,648 7,638 28,9 28,9 221,0272 220,7382 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-22 7,608 7,598 28,91 28,91 219,94728 219,65818 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-27 7,73 7,72 28,29 28,29 218,6817 218,3988 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-28 7,76 7,75 28,54 28,54 221,4704 221,185 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-29 7,833 7,823 28,57 28,57 223,78881 223,50311 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-06-30 7,823 7,813 28,67 28,67 224,28541 223,99871 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-01 7,858 7,848 28,45 28,45 223,5601 223,2756 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-04 7,945 7,935 28,47 28,47 226,19415 225,90945 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-05 7,963 7,953 28,28 28,28 225,19364 224,91084 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-06 7,895 7,885 28,55 28,55 225,40225 225,11675 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-07 7,878 7,868 28,4 28,4 223,7352 223,4512 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-08 7,913 7,903 28,73 28,73 227,34049 227,05319 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-11 7,89 7,88 29,26 29,26 230,8614 230,5688 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-12 7,77 7,76 29,64 29,64 230,3028 230,0064 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-13 7,703 7,693 29,73 29,73 229,01019 228,71289 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-14 7,76 7,75 29,61 29,61 229,7736 229,4775 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-15 7,76 7,75 29,31 29,31 227,4456 227,1525 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-18 7,78 7,77 29,26 29,26 227,6428 227,3502 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-19 7,878 7,868 29,15 29,15 229,6437 229,3522 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-20 7,818 7,808 29,73 29,73 232,42914 232,13184 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-21 7,775 7,765 30,37 30,37 236,12675 235,82305 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-22 7,758 7,748 30,57 30,57 237,16206 236,85636 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-25 7,838 7,828 30,45 30,45 238,6671 238,3626 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-26 7,818 7,808 30,16 30,16 235,79088 235,48928 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-27 7,905 7,895 30,17 30,17 238,49385 238,19215 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-28 7,848 7,838 30,34 30,34 238,10832 237,80492 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-07-29 7,748 7,738 30,79 30,79 238,56092 238,25302 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-01 7,72 7,71 30,79 30,79 237,6988 237,3909 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-02 7,7 7,69 31,21 31,21 240,317 240,0049 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-03 7,685 7,675 31,87 31,87 244,92095 244,60225 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-04 7,618 7,608 31,87 31,87 242,78566 242,46696 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-05 7,548 7,538 31,9 31,9 240,7812 240,4622 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-08 7,558 7,548 32,15 32,15 242,9897 242,6682 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-09 7,548 7,538 32,24 32,24 243,34752 243,02512 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-10 7,558 7,548 32,46 32,46 245,33268 245,00808 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-11 7,523 7,513 32,92 32,92 247,65716 247,32796 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-12 7,46 7,45 33,16 33,16 247,3736 247,042 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-16 7,523 7,513 33,13 33,13 249,23699 248,90569 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-17 7,605 7,595 32,55 32,55 247,54275 247,21725 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-18 7,61 7,6 31,98 31,98 243,3678 243,048 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-19 7,698 7,688 32,07 32,07 246,87486 246,55416 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-22 7,69 7,68 32,52 32,52 250,0788 249,7536 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-23 7,663 7,653 32,46 32,46 248,74098 248,41638 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-24 7,673 7,663 31,84 31,84 244,30832 243,98992 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-25 7,588 7,578 31,61 31,61 239,85668 239,54058 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-26 7,578 7,568 31,88 31,88 241,58664 241,26784 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-29 7,573 7,563 31,69 31,69 239,98837 239,67147 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-30 7,633 7,623 31,7 31,7 241,9661 241,6491 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-08-31 7,668 7,658 31,91 31,91 244,68588 244,36678 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-01 7,568 7,558 32,71 32,71 247,54928 247,22218 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-02 7,435 7,425 33,17 33,17 246,61895 246,28725 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-05 7,41 7,4 33,21 33,21 246,0861 245,754 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-06 7,485 7,475 33,22 33,22 248,6517 248,3195 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-07 7,43 7,42 33,35 33,35 247,7905 247,457 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-08 7,498 7,488 33,26 33,26 249,38348 249,05088 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-09 7,523 7,513 33,39 33,39 251,19297 250,85907 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-12 7,555 7,545 33,58 33,58 253,6969 253,3611 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-13 7,57 7,56 33,37 33,37 252,6109 252,2772 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-14 7,61 7,6 33,39 33,39 254,0979 253,764 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-15 7,658 7,648 33,82 33,82 258,99356 258,65536 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-16 7,613 7,603 34,62 34,62 263,56206 263,21586 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-19 7,698 7,688 35 35 269,43 269,08 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-20 7,688 7,678 35,18 35,18 270,46384 270,11204 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-21 7,663 7,653 35,06 35,06 268,66478 268,31418 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-22 7,648 7,638 35,22 35,22 269,36256 269,01036 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-23 7,733 7,723 34,83 34,83 269,34039 268,99209 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-26 7,798 7,788 35,18 35,18 274,33364 273,98184 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-27 7,825 7,815 35,67 35,67 279,11775 278,76105 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-28 7,81 7,8 36,02 36,02 281,3162 280,956 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-29 7,785 7,775 36,2 36,2 281,817 281,455 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-09-30 7,785 7,775 36,49 36,49 284,07465 283,70975 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-03 7,783 7,773 36,26 36,26 282,21158 281,84898 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-04 7,82 7,81 36,17 36,17 282,8494 282,4877 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-05 7,795 7,785 35,22 35,22 274,5399 274,1877 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-06 7,713 7,703 34,49 34,49 266,02137 265,67647 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-07 7,683 7,673 34,46 34,46 264,75618 264,41158 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-10 7,698 7,688 34,98 34,98 269,27604 268,92624 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-11 7,77 7,76 35,75 35,75 277,7775 277,42 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-12 7,805 7,795 35,55 35,55 277,46775 277,11225 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-13 7,83 7,82 34,27 34,27 268,3341 267,9914 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-14 7,833 7,823 33,95 33,95 265,93035 265,59085 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-17 7,835 7,825 34,56 34,56 270,7776 270,432 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-18 7,893 7,883 34,62 34,62 273,25566 272,90946 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-19 7,96 7,95 33,44 33,44 266,1824 265,848 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-20 7,93 7,92 34,08 34,08 270,2544 269,9136 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-21 7,883 7,873 33,29 33,29 262,42507 262,09217 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-24 7,995 7,985 33,83 33,83 270,47085 270,13255 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-25 7,99 7,98 34,45 34,45 275,2555 274,911 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-26 7,868 7,858 34,82 34,82 273,96376 273,61556 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-27 7,868 7,858 34,71 34,71 273,09828 272,75118 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-28 7,825 7,815 34,33 34,33 268,63225 268,28895 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-10-31 7,905 7,895 34,72 34,72 274,4616 274,1144 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-02 7,98 7,97 34,84 34,84 278,0232 277,6748 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-03 8,01 8 35,86 35,86 287,2386 286,88 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-04 8,028 8,018 35,72 35,72 286,76016 286,40296 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-07 8,135 8,125 35,61 35,61 289,68735 289,33125 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-08 8,17 8,16 35,4 35,4 289,218 288,864 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-09 8,12 8,11 35,51 35,51 288,3412 287,9861 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-10 8,173 8,163 35,94 35,94 293,73762 293,37822 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-11 8,235 8,225 35,96 35,96 296,1306 295,771 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-14 8,133 8,123 36,46 36,46 296,52918 296,16458 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-15 8,185 8,175 36,11 36,11 295,56035 295,19925 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-16 8,21 8,2 35,96 35,96 295,2316 294,872 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-17 8,258 8,248 36,76 36,76 303,56408 303,19648 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-18 8,223 8,213 37,07 37,07 304,82661 304,45591 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-21 8,123 8,113 37,29 37,29 302,90667 302,53377 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-22 8,15 8,14 37,03 37,03 301,7945 301,4242 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-23 8,048 8,038 37,29 37,29 300,10992 299,73702 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-24 8,053 8,043 37,59 37,59 302,71227 302,33637 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-25 8,078 8,068 37,67 37,67 304,29826 303,92156 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-28 8,118 8,108 37,75 37,75 306,4545 306,077 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-29 8,015 8,005 37,69 37,69 302,08535 301,70845 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-11-30 8,088 8,078 37,38 37,38 302,32944 301,95564 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-01 8,083 8,073 37,74 37,74 305,05242 304,67502 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-02 8,103 8,093 38,54 38,54 312,28962 311,90422 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-05 8,045 8,035 38,66 38,66 311,0197 310,6331 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-06 7,993 7,983 38,64 38,64 308,84952 308,46312 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-07 8,015 8,005 39,22 39,22 314,3483 313,9561 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-08 7,988 7,978 38,9 38,9 310,7332 310,3442 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-12 7,953 7,943 39,74 39,74 316,05222 315,65482 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-13 7,905 7,895 39,24 39,24 310,1922 309,7998 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-14 7,848 7,838 39,43 39,43 309,44664 309,05234 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-15 7,858 7,848 38,93 38,93 305,91194 305,52264 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-16 7,903 7,893 38,95 38,95 307,82185 307,43235 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-19 7,865 7,855 39,11 39,11 307,60015 307,20905 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-20 7,848 7,838 38,99 38,99 305,99352 305,60362 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-21 7,948 7,938 39,08 39,08 310,60784 310,21704 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-22 7,98 7,97 39,32 39,32 313,7736 313,3804 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-23 7,955 7,945 39,65 39,65 315,41575 315,01925 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-27 8,01 8 39,67 39,67 317,7567 317,36 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-28 7,915 7,905 39,64 39,64 313,7506 313,3542 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-29 7,938 7,928 39,89 39,89 316,64682 316,24792 481911 BlackRock (Channel Islands) Limited MLIIF World Mining Fund USD 2005-12-30 7,958 7,948 40,04 40,04 318,63832 318,23792 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-03 6,668 6,658 11,97 11,97 79,81596 79,69626 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-04 6,728 6,718 11,74 11,74 78,98672 78,86932 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-05 6,828 6,818 11,51 11,51 78,59028 78,47518 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-07 6,87 6,86 11,34 11,34 77,9058 77,7924 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-10 6,96091 6,95091 11,36 11,36 79,0759376 78,9623376 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-11 6,96091 6,95091 11,3 11,3 78,658283 78,545283 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-12 6,913 6,903 11,22 11,22 77,56386 77,45166 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-13 6,843 6,833 11,19 11,19 76,57317 76,46127 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-14 6,915 6,905 11,29 11,29 78,07035 77,95745 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-17 6,915 6,905 11,36 11,36 78,5544 78,4408 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-18 6,968 6,958 11,34 11,34 79,01712 78,90372 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-19 6,91 6,9 11,39 11,39 78,7049 78,591 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-20 6,96 6,95 11,12 11,12 77,3952 77,284 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-21 6,978 6,968 11,16 11,16 77,87448 77,76288 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-24 6,933 6,923 11 11 76,263 76,153 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-25 6,95 6,94 10,97 10,97 76,2415 76,1318 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-26 6,995 6,985 11,05 11,05 77,29475 77,18425 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-27 6,93 6,92 11,15 11,15 77,2695 77,158 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-28 6,985 6,975 11,24 11,24 78,5114 78,399 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-01-31 6,998 6,988 11,29 11,29 79,00742 78,89452 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-01 6,993 6,983 11,28 11,28 78,88104 78,76824 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-02 6,953 6,943 11,32 11,32 78,70796 78,59476 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-03 6,968 6,958 11,27 11,27 78,52936 78,41666 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-04 7,01 7 11,2 11,2 78,512 78,4 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-07 7,065 7,055 11,38 11,38 80,3997 80,2859 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-08 7,123 7,113 11,38 11,38 81,05974 80,94594 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-09 7,1 7,09 11,35 11,35 80,585 80,4715 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-10 7,088 7,078 11,18 11,18 79,24384 79,13204 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-11 7,068 7,058 11,1 11,1 78,4548 78,3438 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-14 7,03 7,02 11,37 11,37 79,9311 79,8174 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-15 7,005 6,995 11,43 11,43 80,06715 79,95285 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-16 6,973 6,963 11,4 11,4 79,4922 79,3782 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-17 6,97 6,96 11,4 11,4 79,458 79,344 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-18 6,965 6,955 11,26 11,26 78,4259 78,3133 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-21 6,978 6,968 11,2 11,2 78,1536 78,0416 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-22 6,905 6,895 11,12 11,12 76,7836 76,6724 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-23 6,895 6,885 11,02 11,02 75,9829 75,8727 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-24 6,858 6,848 10,92 10,92 74,88936 74,78016 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-25 6,885 6,875 11,12 11,12 76,5612 76,45 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-02-28 6,828 6,818 11,22 11,22 76,61016 76,49796 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-01 6,87 6,86 11,25 11,25 77,2875 77,175 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-02 6,888 6,878 11,2 11,2 77,1456 77,0336 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-03 6,903 6,893 11,23 11,23 77,52069 77,40839 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-04 6,9 6,89 11,22 11,22 77,418 77,3058 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-07 6,84 6,83 11,31 11,31 77,3604 77,2473 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-08 6,825 6,815 11,35 11,35 77,46375 77,35025 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-09 6,76 6,75 11,21 11,21 75,7796 75,6675 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-10 6,745 6,735 11,18 11,18 75,4091 75,2973 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-11 6,765 6,755 11,25 11,25 76,10625 75,99375 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-14 6,76 6,75 11,08 11,08 74,9008 74,79 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-15 6,815 6,805 11,1 11,1 75,6465 75,5355 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-16 6,81 6,8 10,96 10,96 74,6376 74,528 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-17 6,795 6,785 10,86 10,86 73,7937 73,6851 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-18 6,828 6,818 10,8 10,8 73,7424 73,6344 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-21 6,908 6,898 10,83 10,83 74,81364 74,70534 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-22 6,928 6,918 10,87 10,87 75,30736 75,19866 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-23 6,973 6,963 10,77 10,77 75,09921 74,99151 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-24 7,008 6,998 10,87 10,87 76,17696 76,06826 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-29 7,055 7,045 10,76 10,76 75,9118 75,8042 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-30 7,053 7,043 10,77 10,77 75,96081 75,85311 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-03-31 7,065 7,055 10,94 10,94 77,2911 77,1817 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-01 7,07 7,06 11,01 11,01 77,8407 77,7306 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-04 7,113 7,103 10,82 10,82 76,96266 76,85446 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-05 7,163 7,153 10,94 10,94 78,36322 78,25382 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-06 7,125 7,115 10,93 10,93 77,87625 77,76695 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-07 7,083 7,073 10,87 10,87 76,99221 76,88351 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-08 7,153 7,143 10,97 10,97 78,46841 78,35871 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-11 7,098 7,088 10,87 10,87 77,15526 77,04656 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-12 7,048 7,038 10,77 10,77 75,90696 75,79926 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-13 7,075 7,065 10,85 10,85 76,76375 76,65525 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-14 7,12 7,11 10,72 10,72 76,3264 76,2192 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-15 7,17 7,16 10,4 10,4 74,568 74,464 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-18 7,08 7,07 10,22 10,22 72,3576 72,2554 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-19 7,068 7,058 10,34 10,34 73,08312 72,97972 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-20 7,043 7,033 10,42 10,42 73,38806 73,28386 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-21 7,025 7,015 10,53 10,53 73,97325 73,86795 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-22 7,023 7,013 10,59 10,59 74,37357 74,26767 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-25 7,04 7,03 10,57 10,57 74,4128 74,3071 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-26 7,035 7,025 10,54 10,54 74,1489 74,0435 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-27 7,085 7,075 10,35 10,35 73,32975 73,22625 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-28 7,085 7,075 10,37 10,37 73,47145 73,36775 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-04-29 7,08 7,07 10,32 10,32 73,0656 72,9624 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-02 7,15 7,14 10,41 10,41 74,4315 74,3274 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-03 7,178 7,168 10,37 10,37 74,43586 74,33216 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-04 7,11 7,1 10,41 10,41 74,0151 73,911 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-06 7,085 7,075 10,67 10,67 75,59695 75,49025 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-09 7,168 7,158 10,65 10,65 76,3392 76,2327 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-10 7,178 7,168 10,61 10,61 76,15858 76,05248 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-11 7,15 7,14 10,54 10,54 75,361 75,2556 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-12 7,243 7,233 10,6 10,6 76,7758 76,6698 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-13 7,265 7,255 10,65 10,65 77,37225 77,26575 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-17 7,313 7,303 10,8 10,8 78,9804 78,8724 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-18 7,3 7,29 10,88 10,88 79,424 79,3152 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-19 7,26 7,25 11,21 11,21 81,3846 81,2725 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-20 7,28 7,27 11,13 11,13 81,0264 80,9151 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-23 7,32 7,31 11,26 11,26 82,4232 82,3106 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-24 7,295 7,285 11,25 11,25 82,06875 81,95625 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-25 7,298 7,288 11,32 11,32 82,61336 82,50016 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-26 7,33 7,32 11,32 11,32 82,9756 82,8624 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-27 7,338 7,328 11,41 11,41 83,72658 83,61248 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-30 7,338 7,328 11,39 11,39 83,57982 83,46592 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-05-31 7,403 7,393 11,34 11,34 83,95002 83,83662 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-01 7,428 7,418 11,37 11,37 84,45636 84,34266 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-02 7,473 7,463 11,5 11,5 85,9395 85,8245 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-03 7,438 7,428 11,57 11,57 86,05766 85,94196 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-07 7,448 7,438 11,51 11,51 85,72648 85,61138 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-08 7,435 7,425 11,41 11,41 84,83335 84,71925 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-09 7,523 7,513 11,28 11,28 84,85944 84,74664 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-10 7,525 7,515 11,35 11,35 85,40875 85,29525 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-13 7,643 7,633 11,31 11,31 86,44233 86,32923 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-14 7,663 7,653 11,39 11,39 87,28157 87,16767 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-15 7,693 7,683 11,39 11,39 87,62327 87,50937 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-16 7,678 7,668 11,44 11,44 87,83632 87,72192 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-17 7,643 7,633 11,48 11,48 87,74164 87,62684 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-20 7,543 7,533 11,41 11,41 86,06563 85,95153 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-21 7,648 7,638 11,43 11,43 87,41664 87,30234 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-22 7,608 7,598 11,49 11,49 87,41592 87,30102 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-27 7,73 7,72 11,1 11,1 85,803 85,692 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-28 7,76 7,75 11,18 11,18 86,7568 86,645 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-29 7,833 7,823 11,2 11,2 87,7296 87,6176 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-06-30 7,823 7,813 11,29 11,29 88,32167 88,20877 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-01 7,858 7,848 11,21 11,21 88,08818 87,97608 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-04 7,945 7,935 11,13 11,13 88,42785 88,31655 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-05 7,963 7,953 11,16 11,16 88,86708 88,75548 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-06 7,895 7,885 11,34 11,34 89,5293 89,4159 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-07 7,878 7,868 11,13 11,13 87,68214 87,57084 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-08 7,913 7,903 11,36 11,36 89,89168 89,77808 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-11 7,89 7,88 11,68 11,68 92,1552 92,0384 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-12 7,77 7,76 11,76 11,76 91,3752 91,2576 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-13 7,703 7,693 11,81 11,81 90,97243 90,85433 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-14 7,76 7,75 11,88 11,88 92,1888 92,07 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-15 7,76 7,75 11,82 11,82 91,7232 91,605 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-18 7,78 7,77 11,8 11,8 91,804 91,686 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-19 7,878 7,868 11,89 11,89 93,66942 93,55052 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-20 7,818 7,808 11,84 11,84 92,56512 92,44672 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-21 7,775 7,765 11,99 11,99 93,22225 93,10235 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-22 7,758 7,748 11,97 11,97 92,86326 92,74356 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-25 7,838 7,828 11,97 11,97 93,82086 93,70116 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-26 7,818 7,808 11,97 11,97 93,58146 93,46176 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-27 7,905 7,895 11,87 11,87 93,83235 93,71365 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-28 7,848 7,838 11,97 11,97 93,94056 93,82086 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-07-29 7,748 7,738 12 12 92,976 92,856 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-01 7,72 7,71 12 12 92,64 92,52 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-02 7,7 7,69 12,05 12,05 92,785 92,6645 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-03 7,685 7,675 12,09 12,09 92,91165 92,79075 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-04 7,618 7,608 12,05 12,05 91,7969 91,6764 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-05 7,548 7,538 11,96 11,96 90,27408 90,15448 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-08 7,558 7,548 11,93 11,93 90,16694 90,04764 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-09 7,548 7,538 11,89 11,89 89,74572 89,62682 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-10 7,558 7,548 11,89 11,89 89,86462 89,74572 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-11 7,523 7,513 11,72 11,72 88,16956 88,05236 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-12 7,46 7,45 11,69 11,69 87,2074 87,0905 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-16 7,523 7,513 11,7 11,7 88,0191 87,9021 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-17 7,605 7,595 11,66 11,66 88,6743 88,5577 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-18 7,61 7,6 11,65 11,65 88,6565 88,54 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-19 7,698 7,688 11,64 11,64 89,60472 89,48832 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-22 7,69 7,68 11,67 11,67 89,7423 89,6256 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-23 7,663 7,653 11,59 11,59 88,81417 88,69827 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-24 7,673 7,663 11,55 11,55 88,62315 88,50765 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-25 7,588 7,578 11,53 11,53 87,48964 87,37434 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-26 7,578 7,568 11,5 11,5 87,147 87,032 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-29 7,573 7,563 11,47 11,47 86,86231 86,74761 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-30 7,633 7,623 11,52 11,52 87,93216 87,81696 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-08-31 7,668 7,658 11,55 11,55 88,5654 88,4499 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-01 7,568 7,558 11,68 11,68 88,39424 88,27744 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-02 7,435 7,425 11,68 11,68 86,8408 86,724 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-05 7,41 7,4 11,64 11,64 86,2524 86,136 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-06 7,485 7,475 11,72 11,72 87,7242 87,607 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-07 7,43 7,42 11,78 11,78 87,5254 87,4076 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-08 7,498 7,488 11,76 11,76 88,17648 88,05888 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-09 7,523 7,513 11,85 11,85 89,14755 89,02905 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-12 7,555 7,545 12,01 12,01 90,73555 90,61545 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-13 7,57 7,56 11,93 11,93 90,3101 90,1908 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-14 7,61 7,6 11,91 11,91 90,6351 90,516 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-15 7,658 7,648 11,8 11,8 90,3644 90,2464 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-16 7,613 7,603 11,78 11,78 89,68114 89,56334 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-19 7,698 7,688 11,76 11,76 90,52848 90,41088 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-20 7,688 7,678 11,78 11,78 90,56464 90,44684 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-21 7,663 7,653 11,61 11,61 88,96743 88,85133 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-22 7,648 7,638 11,51 11,51 88,02848 87,91338 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-23 7,733 7,723 11,48 11,48 88,77484 88,66004 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-26 7,798 7,788 11,59 11,59 90,37882 90,26292 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-27 7,825 7,815 11,59 11,59 90,69175 90,57585 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-28 7,81 7,8 11,64 11,64 90,9084 90,792 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-29 7,785 7,775 11,56 11,56 89,9946 89,879 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-09-30 7,785 7,775 11,78 11,78 91,7073 91,5895 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-03 7,783 7,773 11,86 11,86 92,30638 92,18778 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-04 7,82 7,81 11,82 11,82 92,4324 92,3142 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-05 7,795 7,785 11,73 11,73 91,43535 91,31805 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-06 7,713 7,703 11,61 11,61 89,54793 89,43183 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-07 7,683 7,673 11,57 11,57 88,89231 88,77661 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-10 7,698 7,688 11,49 11,49 88,45002 88,33512 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-11 7,77 7,76 11,49 11,49 89,2773 89,1624 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-12 7,805 7,795 11,4 11,4 88,977 88,863 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-13 7,83 7,82 11,27 11,27 88,2441 88,1314 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-14 7,833 7,823 11,3 11,3 88,5129 88,3999 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-17 7,835 7,825 11,39 11,39 89,24065 89,12675 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-18 7,893 7,883 11,37 11,37 89,74341 89,62971 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-19 7,96 7,95 11,25 11,25 89,55 89,4375 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-20 7,93 7,92 11,5 11,5 91,195 91,08 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-21 7,883 7,873 11,46 11,46 90,33918 90,22458 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-24 7,995 7,985 11,51 11,51 92,02245 91,90735 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-25 7,99 7,98 11,59 11,59 92,6041 92,4882 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-26 7,868 7,858 11,59 11,59 91,19012 91,07422 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-27 7,868 7,858 11,47 11,47 90,24596 90,13126 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-28 7,825 7,815 11,37 11,37 88,97025 88,85655 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-10-31 7,905 7,895 11,54 11,54 91,2237 91,1083 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-02 7,98 7,97 11,54 11,54 92,0892 91,9738 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-03 8,01 8 11,78 11,78 94,3578 94,24 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-04 8,028 8,018 11,85 11,85 95,1318 95,0133 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-07 8,135 8,125 11,83 11,83 96,23705 96,11875 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-08 8,17 8,16 11,84 11,84 96,7328 96,6144 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-09 8,12 8,11 11,83 11,83 96,0596 95,9413 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-10 8,173 8,163 11,9 11,9 97,2587 97,1397 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-11 8,235 8,225 12,06 12,06 99,3141 99,1935 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-14 8,133 8,123 12,05 12,05 98,00265 97,88215 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-15 8,185 8,175 12,05 12,05 98,62925 98,50875 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-16 8,21 8,2 12,01 12,01 98,6021 98,482 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-17 8,258 8,248 12,06 12,06 99,59148 99,47088 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-18 8,223 8,213 12,29 12,29 101,06067 100,93777 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-21 8,123 8,113 12,28 12,28 99,75044 99,62764 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-22 8,15 8,14 12,32 12,32 100,408 100,2848 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-23 8,048 8,038 12,49 12,49 100,51952 100,39462 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-24 8,053 8,043 12,48 12,48 100,50144 100,37664 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-25 8,078 8,068 12,52 12,52 101,13656 101,01136 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-28 8,118 8,108 12,41 12,41 100,74438 100,62028 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-29 8,015 8,005 12,41 12,41 99,46615 99,34205 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-11-30 8,088 8,078 12,33 12,33 99,72504 99,60174 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-01 8,083 8,073 12,53 12,53 101,27999 101,15469 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-02 8,103 8,093 12,63 12,63 102,34089 102,21459 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-05 8,045 8,035 12,63 12,63 101,60835 101,48205 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-06 7,993 7,983 12,63 12,63 100,95159 100,82529 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-07 8,015 8,005 12,59 12,59 100,90885 100,78295 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-08 7,988 7,978 12,5 12,5 99,85 99,725 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-12 7,953 7,943 12,6 12,6 100,2078 100,0818 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-13 7,905 7,895 12,56 12,56 99,2868 99,1612 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-14 7,848 7,838 12,62 12,62 99,04176 98,91556 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-15 7,858 7,848 12,56 12,56 98,69648 98,57088 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-16 7,903 7,893 12,54 12,54 99,10362 98,97822 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-19 7,865 7,855 12,45 12,45 97,91925 97,79475 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-20 7,848 7,838 12,3 12,3 96,5304 96,4074 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-21 7,948 7,938 12,35 12,35 98,1578 98,0343 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-22 7,98 7,97 12,48 12,48 99,5904 99,4656 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-23 7,955 7,945 12,51 12,51 99,51705 99,39195 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-27 8,01 8 12,56 12,56 100,6056 100,48 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-28 7,915 7,905 12,4 12,4 98,146 98,022 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-29 7,938 7,928 12,39 12,39 98,35182 98,22792 446088 BlackRock (Channel Islands) Limited MLIIF World Technology Fund USD 2005-12-30 7,958 7,948 12,26 12,26 97,56508 97,44248 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-03 9,0065 9,0015 11,33 11,33 102,043645 101,986995 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-04 9,0345 9,0295 11,33 11,33 102,360885 102,304235 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-05 9,0615 9,0565 11,33 11,33 102,666795 102,610145 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-07 9,0615 9,0565 11,33 11,33 102,666795 102,610145 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-10 9,08619 9,08119 11,33 11,33 102,9465327 102,8898827 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-11 9,08619 9,08119 11,33 11,33 102,9465327 102,8898827 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-12 9,0455 9,0405 11,33 11,33 102,485515 102,428865 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-13 9,0505 9,0455 11,33 11,33 102,542165 102,485515 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-14 9,0455 9,0405 11,33 11,33 102,485515 102,428865 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-17 9,0685 9,0635 11,34 11,34 102,83679 102,78009 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-18 9,0585 9,0535 11,33 11,33 102,632805 102,576155 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-19 9,0225 9,0175 11,34 11,34 102,31515 102,25845 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-20 9,0315 9,0265 11,34 11,34 102,41721 102,36051 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-21 9,0505 9,0455 11,34 11,34 102,63267 102,57597 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-24 9,0655 9,0605 11,34 11,34 102,80277 102,74607 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-25 9,0715 9,0665 11,34 11,34 102,87081 102,81411 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-26 9,0885 9,0835 11,34 11,34 103,06359 103,00689 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-27 9,0675 9,0625 11,34 11,34 102,82545 102,76875 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-28 9,0955 9,0905 11,34 11,34 103,14297 103,08627 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-01-31 9,1075 9,1025 11,34 11,34 103,27905 103,22235 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-01 9,1035 9,0985 11,34 11,34 103,23369 103,17699 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-02 9,0905 9,0855 11,34 11,34 103,08627 103,02957 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-03 9,0695 9,0645 11,34 11,34 102,84813 102,79143 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-04 9,0895 9,0845 11,34 11,34 103,07493 103,01823 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-07 9,0755 9,0705 11,34 11,34 102,91617 102,85947 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-08 9,0895 9,0845 11,34 11,34 103,07493 103,01823 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-09 9,0695 9,0645 11,34 11,34 102,84813 102,79143 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-10 9,0805 9,0755 11,35 11,35 103,063675 103,006925 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-11 9,0935 9,0885 11,35 11,35 103,211225 103,154475 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-14 9,1105 9,1055 11,35 11,35 103,404175 103,347425 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-15 9,0765 9,0715 11,35 11,35 103,018275 102,961525 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-16 9,0705 9,0655 11,35 11,35 102,950175 102,893425 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-17 9,0925 9,0875 11,35 11,35 103,199875 103,143125 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-18 9,0945 9,0895 11,35 11,35 103,222575 103,165825 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-21 9,1185 9,1135 11,35 11,35 103,494975 103,438225 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-22 9,0975 9,0925 11,35 11,35 103,256625 103,199875 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-23 9,1045 9,0995 11,35 11,35 103,336075 103,279325 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-24 9,0715 9,0665 11,35 11,35 102,961525 102,904775 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-25 9,0845 9,0795 11,35 11,35 103,109075 103,052325 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-02-28 9,0505 9,0455 11,35 11,35 102,723175 102,666425 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-01 9,0565 9,0515 11,35 11,35 102,791275 102,734525 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-02 9,0645 9,0595 11,35 11,35 102,882075 102,825325 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-03 9,0675 9,0625 11,35 11,35 102,916125 102,859375 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-04 9,0415 9,0365 11,36 11,36 102,71144 102,65464 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-07 9,0425 9,0375 11,36 11,36 102,7228 102,666 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-08 9,0345 9,0295 11,36 11,36 102,63192 102,57512 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-09 9,0365 9,0315 11,36 11,36 102,65464 102,59784 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-10 9,0655 9,0605 11,36 11,36 102,98408 102,92728 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-11 9,0795 9,0745 11,36 11,36 103,14312 103,08632 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-14 9,0695 9,0645 11,36 11,36 103,02952 102,97272 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-15 9,1035 9,0985 11,35 11,35 103,324725 103,267975 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-16 9,0975 9,0925 11,35 11,35 103,256625 103,199875 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-17 9,1045 9,0995 11,35 11,35 103,336075 103,279325 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-18 9,1035 9,0985 11,35 11,35 103,324725 103,267975 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-21 9,1265 9,1215 11,35 11,35 103,585775 103,529025 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-22 9,1265 9,1215 11,35 11,35 103,585775 103,529025 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-23 9,1165 9,1115 11,35 11,35 103,472275 103,415525 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-24 9,1135 9,1085 11,35 11,35 103,438225 103,381475 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-29 9,1315 9,1265 11,35 11,35 103,642525 103,585775 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-30 9,1425 9,1375 11,35 11,35 103,767375 103,710625 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-03-31 9,1405 9,1355 11,36 11,36 103,83608 103,77928 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-01 9,1645 9,1595 11,36 11,36 104,10872 104,05192 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-04 9,1695 9,1645 11,36 11,36 104,16552 104,10872 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-05 9,1745 9,1695 11,36 11,36 104,22232 104,16552 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-06 9,1705 9,1655 11,36 11,36 104,17688 104,12008 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-07 9,1505 9,1455 11,36 11,36 103,94968 103,89288 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-08 9,1625 9,1575 11,36 11,36 104,086 104,0292 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-11 9,1705 9,1655 11,36 11,36 104,17688 104,12008 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-12 9,1525 9,1475 11,36 11,36 103,9724 103,9156 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-13 9,1495 9,1445 11,36 11,36 103,93832 103,88152 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-14 9,1685 9,1635 11,36 11,36 104,15416 104,09736 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-15 9,1925 9,1875 11,36 11,36 104,4268 104,37 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-18 9,1805 9,1755 11,37 11,37 104,382285 104,325435 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-19 9,2035 9,1985 11,37 11,37 104,643795 104,586945 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-20 9,1915 9,1865 11,37 11,37 104,507355 104,450505 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-21 9,1855 9,1805 11,37 11,37 104,439135 104,382285 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-22 9,1625 9,1575 11,37 11,37 104,177625 104,120775 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-25 9,1685 9,1635 11,37 11,37 104,245845 104,188995 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-26 9,1375 9,1325 11,37 11,37 103,893375 103,836525 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-27 9,1465 9,1415 11,37 11,37 103,995705 103,938855 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-28 9,1505 9,1455 11,37 11,37 104,041185 103,984335 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-04-29 9,1705 9,1655 11,37 11,37 104,268585 104,211735 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-02 9,1935 9,1885 11,37 11,37 104,530095 104,473245 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-03 9,2245 9,2195 11,38 11,38 104,97481 104,91791 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-04 9,1915 9,1865 11,38 11,38 104,59927 104,54237 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-06 9,1715 9,1665 11,38 11,38 104,37167 104,31477 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-09 9,1815 9,1765 11,38 11,38 104,48547 104,42857 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-10 9,1985 9,1935 11,38 11,38 104,67893 104,62203 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-11 9,2105 9,2055 11,38 11,38 104,81549 104,75859 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-12 9,2315 9,2265 11,38 11,38 105,05447 104,99757 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-13 9,2045 9,1995 11,38 11,38 104,74721 104,69031 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-17 9,2325 9,2275 11,38 11,38 105,06585 105,00895 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-18 9,2095 9,2045 11,38 11,38 104,80411 104,74721 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-19 9,1905 9,1855 11,38 11,38 104,58789 104,53099 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-20 9,1955 9,1905 11,38 11,38 104,64479 104,58789 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-23 9,1805 9,1755 11,38 11,38 104,47409 104,41719 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-24 9,1815 9,1765 11,38 11,38 104,48547 104,42857 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-25 9,1785 9,1735 11,38 11,38 104,45133 104,39443 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-26 9,1945 9,1895 11,38 11,38 104,63341 104,57651 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-27 9,1955 9,1905 11,39 11,39 104,736745 104,679795 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-30 9,1905 9,1855 11,39 11,39 104,679795 104,622845 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-05-31 9,1665 9,1615 11,4 11,4 104,4981 104,4411 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-01 9,1455 9,1405 11,4 11,4 104,2587 104,2017 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-02 9,1565 9,1515 11,4 11,4 104,3841 104,3271 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-03 9,1315 9,1265 11,4 11,4 104,0991 104,0421 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-07 9,1455 9,1405 11,4 11,4 104,2587 104,2017 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-08 9,1455 9,1405 11,4 11,4 104,2587 104,2017 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-09 9,1965 9,1915 11,4 11,4 104,8401 104,7831 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-10 9,1975 9,1925 11,4 11,4 104,8515 104,7945 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-13 9,2365 9,2315 11,4 11,4 105,2961 105,2391 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-14 9,2985 9,2935 11,4 11,4 106,0029 105,9459 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-15 9,2695 9,2645 11,4 11,4 105,6723 105,6153 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-16 9,2695 9,2645 11,4 11,4 105,6723 105,6153 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-17 9,2695 9,2645 11,4 11,4 105,6723 105,6153 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-20 9,2255 9,2205 11,41 11,41 105,262955 105,205905 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-21 9,2725 9,2675 11,41 11,41 105,799225 105,742175 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-22 9,2615 9,2565 11,41 11,41 105,673715 105,616665 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-27 9,3855 9,3805 11,41 11,41 107,088555 107,031505 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-28 9,3995 9,3945 11,41 11,41 107,248295 107,191245 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-29 9,4215 9,4165 11,41 11,41 107,499315 107,442265 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-06-30 9,4415 9,4365 11,41 11,41 107,727515 107,670465 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-01 9,4595 9,4545 11,41 11,41 107,932895 107,875845 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-04 9,4795 9,4745 11,41 11,41 108,161095 108,104045 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-05 9,4575 9,4525 11,41 11,41 107,910075 107,853025 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-06 9,4195 9,4145 11,41 11,41 107,476495 107,419445 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-07 9,3965 9,3915 11,41 11,41 107,214065 107,157015 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-08 9,4175 9,4125 11,42 11,42 107,54785 107,49075 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-11 9,4665 9,4615 11,41 11,41 108,012765 107,955715 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-12 9,4645 9,4595 11,42 11,42 108,08459 108,02749 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-13 9,3915 9,3865 11,42 11,42 107,25093 107,19383 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-14 9,3675 9,3625 11,42 11,42 106,97685 106,91975 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-15 9,4055 9,4005 11,42 11,42 107,41081 107,35371 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-18 9,3895 9,3845 11,42 11,42 107,22809 107,17099 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-19 9,4425 9,4375 11,42 11,42 107,83335 107,77625 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-20 9,4265 9,4215 11,42 11,42 107,65063 107,59353 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-21 9,4625 9,4575 11,42 11,42 108,06175 108,00465 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-22 9,4495 9,4445 11,42 11,42 107,91329 107,85619 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-25 9,4275 9,4225 11,42 11,42 107,66205 107,60495 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-26 9,4155 9,4105 11,42 11,42 107,52501 107,46791 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-27 9,4725 9,4675 11,42 11,42 108,17595 108,11885 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-28 9,4515 9,4465 11,42 11,42 107,93613 107,87903 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-07-29 9,3885 9,3835 11,42 11,42 107,21667 107,15957 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-01 9,3985 9,3935 11,42 11,42 107,33087 107,27377 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-02 9,3995 9,3945 11,42 11,42 107,34229 107,28519 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-03 9,3755 9,3705 11,43 11,43 107,161965 107,104815 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-04 9,3735 9,3685 11,43 11,43 107,139105 107,081955 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-05 9,3355 9,3305 11,43 11,43 106,704765 106,647615 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-08 9,3335 9,3285 11,43 11,43 106,681905 106,624755 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-09 9,3455 9,3405 11,43 11,43 106,819065 106,761915 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-10 9,3535 9,3485 11,43 11,43 106,910505 106,853355 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-11 9,3365 9,3315 11,43 11,43 106,716195 106,659045 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-12 9,3025 9,2975 11,43 11,43 106,327575 106,270425 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-16 9,2995 9,2945 11,43 11,43 106,293285 106,236135 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-17 9,3405 9,3355 11,43 11,43 106,761915 106,704765 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-18 9,3365 9,3315 11,43 11,43 106,716195 106,659045 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-19 9,3395 9,3345 11,43 11,43 106,750485 106,693335 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-22 9,3655 9,3605 11,44 11,44 107,14132 107,08412 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-23 9,3715 9,3665 11,44 11,44 107,20996 107,15276 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-24 9,3365 9,3315 11,44 11,44 106,80956 106,75236 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-25 9,3335 9,3285 11,44 11,44 106,77524 106,71804 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-26 9,3415 9,3365 11,44 11,44 106,86676 106,80956 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-29 9,3295 9,3245 11,44 11,44 106,72948 106,67228 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-30 9,3285 9,3235 11,44 11,44 106,71804 106,66084 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-08-31 9,3585 9,3535 11,44 11,44 107,06124 107,00404 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-01 9,3365 9,3315 11,44 11,44 106,80956 106,75236 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-02 9,3025 9,2975 11,44 11,44 106,4206 106,3634 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-05 9,2845 9,2795 11,34 11,34 105,28623 105,22953 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-06 9,3225 9,3175 11,44 11,44 106,6494 106,5922 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-07 9,3075 9,3025 11,44 11,44 106,4778 106,4206 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-08 9,3255 9,3205 11,45 11,45 106,776975 106,719725 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-09 9,3445 9,3395 11,45 11,45 106,994525 106,937275 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-12 9,3015 9,2965 11,45 11,45 106,502175 106,444925 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-13 9,3015 9,2965 11,45 11,45 106,502175 106,444925 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-14 9,3365 9,3315 11,45 11,45 106,902925 106,845675 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-15 9,3425 9,3375 11,45 11,45 106,971625 106,914375 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-16 9,3465 9,3415 11,45 11,45 107,017425 106,960175 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-19 9,3355 9,3305 11,45 11,45 106,891475 106,834225 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-20 9,3395 9,3345 11,45 11,45 106,937275 106,880025 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-21 9,3405 9,3355 11,45 11,45 106,948725 106,891475 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-22 9,3405 9,3355 11,45 11,45 106,948725 106,891475 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-23 9,3695 9,3645 11,45 11,45 107,280775 107,223525 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-26 9,3815 9,3765 11,45 11,45 107,418175 107,360925 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-27 9,3885 9,3835 11,45 11,45 107,498325 107,441075 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-28 9,3935 9,3885 11,45 11,45 107,555575 107,498325 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-29 9,3845 9,3795 11,45 11,45 107,452525 107,395275 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-09-30 9,3435 9,3385 11,45 11,45 106,983075 106,925825 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-03 9,3025 9,2975 11,45 11,45 106,513625 106,456375 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-04 9,3185 9,3135 11,46 11,46 106,79001 106,73271 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-05 9,3105 9,3055 11,46 11,46 106,69833 106,64103 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-06 9,3015 9,2965 11,46 11,46 106,59519 106,53789 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-07 9,3385 9,3335 11,46 11,46 107,01921 106,96191 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-10 9,3465 9,3415 11,46 11,46 107,11089 107,05359 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-11 9,3395 9,3345 11,46 11,46 107,03067 106,97337 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-12 9,3375 9,3325 11,46 11,46 107,00775 106,95045 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-13 9,3815 9,3765 11,46 11,46 107,51199 107,45469 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-14 9,4135 9,4085 11,46 11,46 107,87871 107,82141 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-17 9,4575 9,4525 11,46 11,46 108,38295 108,32565 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-18 9,4625 9,4575 11,46 11,46 108,44025 108,38295 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-19 9,4605 9,4555 11,46 11,46 108,41733 108,36003 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-20 9,4935 9,4885 11,46 11,46 108,79551 108,73821 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-21 9,4915 9,4865 11,46 11,46 108,77259 108,71529 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-24 9,5455 9,5405 11,46 11,46 109,39143 109,33413 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-25 9,5465 9,5415 11,46 11,46 109,40289 109,34559 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-26 9,4975 9,4925 11,46 11,46 108,84135 108,78405 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-27 9,5355 9,5305 11,46 11,46 109,27683 109,21953 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-28 9,5135 9,5085 11,46 11,46 109,02471 108,96741 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-10-31 9,5495 9,5445 11,46 11,46 109,43727 109,37997 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-02 9,5855 9,5805 11,46 11,46 109,84983 109,79253 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-03 9,6515 9,6465 11,46 11,46 110,60619 110,54889 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-04 9,5875 9,5825 11,46 11,46 109,87275 109,81545 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-07 9,6075 9,6025 11,46 11,46 110,10195 110,04465 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-08 9,5685 9,5635 11,46 11,46 109,65501 109,59771 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-09 9,5575 9,5525 11,46 11,46 109,52895 109,47165 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-10 9,6105 9,6055 11,47 11,47 110,232435 110,175085 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-11 9,6365 9,6315 11,47 11,47 110,530655 110,473305 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-14 9,5505 9,5455 11,47 11,47 109,544235 109,486885 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-15 9,5805 9,5755 11,47 11,47 109,888335 109,830985 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-16 9,6235 9,6185 11,47 11,47 110,381545 110,324195 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-17 9,6355 9,6305 11,47 11,47 110,519185 110,461835 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-18 9,6085 9,6035 11,47 11,47 110,209495 110,152145 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-21 9,5915 9,5865 11,47 11,47 110,014505 109,957155 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-22 9,5585 9,5535 11,47 11,47 109,635995 109,578645 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-23 9,5155 9,5105 11,47 11,47 109,142785 109,085435 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-24 9,5125 9,5075 11,47 11,47 109,108375 109,051025 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-25 9,4965 9,4915 11,47 11,47 108,924855 108,867505 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-28 9,4835 9,4785 11,47 11,47 108,775745 108,718395 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-29 9,4785 9,4735 11,47 11,47 108,718395 108,661045 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-11-30 9,5295 9,5245 11,47 11,47 109,303365 109,246015 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-01 9,5165 9,5115 11,48 11,48 109,24942 109,19202 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-02 9,4905 9,4855 11,48 11,48 108,95094 108,89354 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-05 9,4065 9,4015 11,48 11,48 107,98662 107,92922 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-06 9,4185 9,4135 11,48 11,48 108,12438 108,06698 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-07 9,4255 9,4205 11,48 11,48 108,20474 108,14734 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-08 9,3965 9,3915 11,48 11,48 107,87182 107,81442 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-12 9,4315 9,4265 11,48 11,48 108,27362 108,21622 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-13 9,4295 9,4245 11,48 11,48 108,25066 108,19326 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-14 9,4365 9,4315 11,48 11,48 108,33102 108,27362 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-15 9,4345 9,4295 11,48 11,48 108,30806 108,25066 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-16 9,4765 9,4715 11,48 11,48 108,79022 108,73282 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-19 9,4535 9,4485 11,48 11,48 108,52618 108,46878 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-20 9,4015 9,3965 11,48 11,48 107,92922 107,87182 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-21 9,4485 9,4435 11,48 11,48 108,46878 108,41138 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-22 9,4365 9,4315 11,49 11,49 108,425385 108,367935 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-23 9,4425 9,4375 11,49 11,49 108,494325 108,436875 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-27 9,4915 9,4865 11,49 11,49 109,057335 108,999885 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-28 9,4345 9,4295 11,49 11,49 108,402405 108,344955 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-29 9,4115 9,4065 11,49 11,49 108,138135 108,080685 880294 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Ränta EUR 2005-12-30 9,4325 9,4275 11,49 11,49 108,379425 108,321975 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-03 9,0065 9,0015 6,45 6,45 58,091925 58,059675 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-04 9,0345 9,0295 6,45 6,45 58,272525 58,240275 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-05 9,0615 9,0565 6,42 6,42 58,17483 58,14273 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-07 9,0615 9,0565 6,49 6,49 58,809135 58,776685 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-10 9,08619 9,08119 6,49 6,49 58,9693731 58,9369231 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-11 9,08619 9,08119 6,43 6,43 58,4242017 58,3920517 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-12 9,0455 9,0405 6,37 6,37 57,619835 57,587985 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-13 9,0505 9,0455 6,39 6,39 57,832695 57,800745 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-14 9,0455 9,0405 6,42 6,42 58,07211 58,04001 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-17 9,0685 9,0635 6,44 6,44 58,40114 58,36894 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-18 9,0585 9,0535 6,45 6,45 58,427325 58,395075 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-19 9,0225 9,0175 6,45 6,45 58,195125 58,162875 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-20 9,0315 9,0265 6,42 6,42 57,98223 57,95013 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-21 9,0505 9,0455 6,41 6,41 58,013705 57,981655 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-24 9,0655 9,0605 6,41 6,41 58,109855 58,077805 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-25 9,0715 9,0665 6,46 6,46 58,60189 58,56959 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-26 9,0885 9,0835 6,45 6,45 58,620825 58,588575 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-27 9,0675 9,0625 6,48 6,48 58,7574 58,725 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-28 9,0955 9,0905 6,45 6,45 58,665975 58,633725 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-01-31 9,1075 9,1025 6,52 6,52 59,3809 59,3483 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-01 9,1035 9,0985 6,55 6,55 59,627925 59,595175 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-02 9,0905 9,0855 6,57 6,57 59,724585 59,691735 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-03 9,0695 9,0645 6,56 6,56 59,49592 59,46312 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-04 9,0895 9,0845 6,63 6,63 60,263385 60,230235 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-07 9,0755 9,0705 6,66 6,66 60,44283 60,40953 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-08 9,0895 9,0845 6,67 6,67 60,626965 60,593615 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-09 9,0695 9,0645 6,67 6,67 60,493565 60,460215 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-10 9,0805 9,0755 6,66 6,66 60,47613 60,44283 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-11 9,0935 9,0885 6,72 6,72 61,10832 61,07472 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-14 9,1105 9,1055 6,72 6,72 61,22256 61,18896 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-15 9,0765 9,0715 6,75 6,75 61,266375 61,232625 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-16 9,0705 9,0655 6,71 6,71 60,863055 60,829505 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-17 9,0925 9,0875 6,71 6,71 61,010675 60,977125 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-18 9,0945 9,0895 6,72 6,72 61,11504 61,08144 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-21 9,1185 9,1135 6,73 6,73 61,367505 61,333855 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-22 9,0975 9,0925 6,68 6,68 60,7713 60,7379 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-23 9,1045 9,0995 6,64 6,64 60,45388 60,42068 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-24 9,0715 9,0665 6,64 6,64 60,23476 60,20156 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-25 9,0845 9,0795 6,71 6,71 60,956995 60,923445 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-02-28 9,0505 9,0455 6,68 6,68 60,45734 60,42394 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-01 9,0565 9,0515 6,73 6,73 60,950245 60,916595 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-02 9,0645 9,0595 6,75 6,75 61,185375 61,151625 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-03 9,0675 9,0625 6,75 6,75 61,205625 61,171875 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-04 9,0415 9,0365 6,79 6,79 61,391785 61,357835 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-07 9,0425 9,0375 6,79 6,79 61,398575 61,364625 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-08 9,0345 9,0295 6,75 6,75 60,982875 60,949125 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-09 9,0365 9,0315 6,73 6,73 60,815645 60,781995 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-10 9,0655 9,0605 6,66 6,66 60,37623 60,34293 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-11 9,0795 9,0745 6,67 6,67 60,560265 60,526915 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-14 9,0695 9,0645 6,67 6,67 60,493565 60,460215 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-15 9,1035 9,0985 6,72 6,72 61,17552 61,14192 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-16 9,0975 9,0925 6,63 6,63 60,316425 60,283275 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-17 9,1045 9,0995 6,64 6,64 60,45388 60,42068 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-18 9,1035 9,0985 6,64 6,64 60,44724 60,41404 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-21 9,1265 9,1215 6,64 6,64 60,59996 60,56676 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-22 9,1265 9,1215 6,65 6,65 60,691225 60,657975 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-23 9,1165 9,1115 6,63 6,63 60,442395 60,409245 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-24 9,1135 9,1085 6,66 6,66 60,69591 60,66261 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-29 9,1315 9,1265 6,69 6,69 61,089735 61,056285 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-30 9,1425 9,1375 6,68 6,68 61,0719 61,0385 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-03-31 9,1405 9,1355 6,69 6,69 61,149945 61,116495 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-01 9,1645 9,1595 6,69 6,69 61,310505 61,277055 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-04 9,1695 9,1645 6,66 6,66 61,06887 61,03557 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-05 9,1745 9,1695 6,71 6,71 61,560895 61,527345 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-06 9,1705 9,1655 6,73 6,73 61,717465 61,683815 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-07 9,1505 9,1455 6,76 6,76 61,85738 61,82358 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-08 9,1625 9,1575 6,77 6,77 62,030125 61,996275 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-11 9,1705 9,1655 6,76 6,76 61,99258 61,95878 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-12 9,1525 9,1475 6,73 6,73 61,596325 61,562675 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-13 9,1495 9,1445 6,75 6,75 61,759125 61,725375 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-14 9,1685 9,1635 6,75 6,75 61,887375 61,853625 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-15 9,1925 9,1875 6,66 6,66 61,22205 61,18875 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-18 9,1805 9,1755 6,54 6,54 60,04047 60,00777 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-19 9,2035 9,1985 6,59 6,59 60,651065 60,618115 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-20 9,1915 9,1865 6,54 6,54 60,11241 60,07971 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-21 9,1855 9,1805 6,53 6,53 59,981315 59,948665 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-22 9,1625 9,1575 6,6 6,6 60,4725 60,4395 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-25 9,1685 9,1635 6,63 6,63 60,787155 60,754005 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-26 9,1375 9,1325 6,61 6,61 60,398875 60,365825 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-27 9,1465 9,1415 6,55 6,55 59,909575 59,876825 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-28 9,1505 9,1455 6,56 6,56 60,02728 59,99448 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-04-29 9,1705 9,1655 6,56 6,56 60,15848 60,12568 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-02 9,1935 9,1885 6,61 6,61 60,769035 60,735985 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-03 9,2245 9,2195 6,63 6,63 61,158435 61,125285 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-04 9,1915 9,1865 6,71 6,71 61,674965 61,641415 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-06 9,1715 9,1665 6,74 6,74 61,81591 61,78221 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-09 9,1815 9,1765 6,71 6,71 61,607865 61,574315 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-10 9,1985 9,1935 6,66 6,66 61,26201 61,22871 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-11 9,2105 9,2055 6,64 6,64 61,15772 61,12452 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-12 9,2315 9,2265 6,69 6,69 61,758735 61,725285 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-13 9,2045 9,1995 6,66 6,66 61,30197 61,26867 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-17 9,2325 9,2275 6,66 6,66 61,48845 61,45515 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-18 9,2095 9,2045 6,75 6,75 62,164125 62,130375 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-19 9,1905 9,1855 6,78 6,78 62,31159 62,27769 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-20 9,1955 9,1905 6,79 6,79 62,437445 62,403495 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-23 9,1805 9,1755 6,82 6,82 62,61101 62,57691 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-24 9,1815 9,1765 6,81 6,81 62,526015 62,491965 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-25 9,1785 9,1735 6,8 6,8 62,4138 62,3798 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-26 9,1945 9,1895 6,85 6,85 62,982325 62,948075 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-27 9,1955 9,1905 6,84 6,84 62,89722 62,86302 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-30 9,1905 9,1855 6,84 6,84 62,86302 62,82882 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-05-31 9,1665 9,1615 6,87 6,87 62,973855 62,939505 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-01 9,1455 9,1405 6,98 6,98 63,83559 63,80069 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-02 9,1565 9,1515 6,98 6,98 63,91237 63,87747 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-03 9,1315 9,1265 6,96 6,96 63,55524 63,52044 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-07 9,1455 9,1405 7,02 7,02 64,20141 64,16631 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-08 9,1455 9,1405 6,99 6,99 63,927045 63,892095 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-09 9,1965 9,1915 6,99 6,99 64,283535 64,248585 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-10 9,1975 9,1925 7,03 7,03 64,658425 64,623275 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-13 9,2365 9,2315 7,06 7,06 65,20969 65,17439 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-14 9,2985 9,2935 7,07 7,07 65,740395 65,705045 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-15 9,2695 9,2645 7,03 7,03 65,164585 65,129435 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-16 9,2695 9,2645 7,06 7,06 65,44267 65,40737 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-17 9,2695 9,2645 7,08 7,08 65,62806 65,59266 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-20 9,2255 9,2205 7,08 7,08 65,31654 65,28114 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-21 9,2725 9,2675 7,12 7,12 66,0202 65,9846 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-22 9,2615 9,2565 7,14 7,14 66,12711 66,09141 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-27 9,3855 9,3805 7,03 7,03 65,980065 65,944915 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-28 9,3995 9,3945 7,09 7,09 66,642455 66,607005 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-29 9,4215 9,4165 7,11 7,11 66,986865 66,951315 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-06-30 9,4415 9,4365 7,1 7,1 67,03465 66,99915 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-01 9,4595 9,4545 7,14 7,14 67,54083 67,50513 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-04 9,4795 9,4745 7,16 7,16 67,87322 67,83742 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-05 9,4575 9,4525 7,16 7,16 67,7157 67,6799 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-06 9,4195 9,4145 7,21 7,21 67,914595 67,878545 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-07 9,3965 9,3915 7,09 7,09 66,621185 66,585735 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-08 9,4175 9,4125 7,18 7,18 67,61765 67,58175 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-11 9,4665 9,4615 7,21 7,21 68,253465 68,217415 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-12 9,4645 9,4595 7,18 7,18 67,95511 67,91921 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-13 9,3915 9,3865 7,22 7,22 67,80663 67,77053 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-14 9,3675 9,3625 7,27 7,27 68,101725 68,065375 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-15 9,4055 9,4005 7,25 7,25 68,189875 68,153625 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-18 9,3895 9,3845 7,23 7,23 67,886085 67,849935 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-19 9,4425 9,4375 7,26 7,26 68,55255 68,51625 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-20 9,4265 9,4215 7,24 7,24 68,24786 68,21166 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-21 9,4625 9,4575 7,24 7,24 68,5085 68,4723 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-22 9,4495 9,4445 7,24 7,24 68,41438 68,37818 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-25 9,4275 9,4225 7,28 7,28 68,6322 68,5958 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-26 9,4155 9,4105 7,28 7,28 68,54484 68,50844 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-27 9,4725 9,4675 7,29 7,29 69,054525 69,018075 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-28 9,4515 9,4465 7,32 7,32 69,18498 69,14838 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-07-29 9,3885 9,3835 7,33 7,33 68,817705 68,781055 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-01 9,3985 9,3935 7,34 7,34 68,98499 68,94829 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-02 9,3995 9,3945 7,39 7,39 69,462305 69,425355 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-03 9,3755 9,3705 7,38 7,38 69,19119 69,15429 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-04 9,3735 9,3685 7,32 7,32 68,61402 68,57742 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-05 9,3355 9,3305 7,29 7,29 68,055795 68,019345 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-08 9,3335 9,3285 7,34 7,34 68,50789 68,47119 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-09 9,3455 9,3405 7,39 7,39 69,063245 69,026295 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-10 9,3535 9,3485 7,46 7,46 69,77711 69,73981 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-11 9,3365 9,3315 7,46 7,46 69,65029 69,61299 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-12 9,3025 9,2975 7,43 7,43 69,117575 69,080425 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-16 9,2995 9,2945 7,4 7,4 68,8163 68,7793 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-17 9,3405 9,3355 7,39 7,39 69,026295 68,989345 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-18 9,3365 9,3315 7,37 7,37 68,810005 68,773155 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-19 9,3395 9,3345 7,37 7,37 68,832115 68,795265 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-22 9,3655 9,3605 7,43 7,43 69,585665 69,548515 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-23 9,3715 9,3665 7,38 7,38 69,16167 69,12477 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-24 9,3365 9,3315 7,34 7,34 68,52991 68,49321 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-25 9,3335 9,3285 7,3 7,3 68,13455 68,09805 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-26 9,3415 9,3365 7,27 7,27 67,912705 67,876355 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-29 9,3295 9,3245 7,25 7,25 67,638875 67,602625 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-30 9,3285 9,3235 7,26 7,26 67,72491 67,68861 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-08-31 9,3585 9,3535 7,31 7,31 68,410635 68,374085 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-01 9,3365 9,3315 7,36 7,36 68,71664 68,67984 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-02 9,3025 9,2975 7,34 7,34 68,28035 68,24365 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-05 9,2845 9,2795 7,4 7,4 68,7053 68,6683 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-06 9,3225 9,3175 7,46 7,46 69,54585 69,50855 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-07 9,3075 9,3025 7,47 7,47 69,527025 69,489675 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-08 9,3255 9,3205 7,47 7,47 69,661485 69,624135 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-09 9,3445 9,3395 7,49 7,49 69,990305 69,952855 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-12 9,3015 9,2965 7,5 7,5 69,76125 69,72375 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-13 9,3015 9,2965 7,45 7,45 69,296175 69,258925 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-14 9,3365 9,3315 7,48 7,48 69,83702 69,79962 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-15 9,3425 9,3375 7,49 7,49 69,975325 69,937875 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-16 9,3465 9,3415 7,55 7,55 70,566075 70,528325 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-19 9,3355 9,3305 7,55 7,55 70,483025 70,445275 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-20 9,3395 9,3345 7,56 7,56 70,60662 70,56882 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-21 9,3405 9,3355 7,49 7,49 69,960345 69,922895 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-22 9,3405 9,3355 7,47 7,47 69,773535 69,736185 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-23 9,3695 9,3645 7,5 7,5 70,27125 70,23375 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-26 9,3815 9,3765 7,59 7,59 71,205585 71,167635 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-27 9,3885 9,3835 7,57 7,57 71,070945 71,033095 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-28 9,3935 9,3885 7,64 7,64 71,76634 71,72814 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-29 9,3845 9,3795 7,61 7,61 71,416045 71,377995 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-09-30 9,3435 9,3385 7,62 7,62 71,19747 71,15937 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-03 9,3025 9,2975 7,7 7,7 71,62925 71,59075 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-04 9,3185 9,3135 7,7 7,7 71,75245 71,71395 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-05 9,3105 9,3055 7,62 7,62 70,94601 70,90791 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-06 9,3015 9,2965 7,52 7,52 69,94728 69,90968 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-07 9,3385 9,3335 7,5 7,5 70,03875 70,00125 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-10 9,3465 9,3415 7,51 7,51 70,192215 70,154665 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-11 9,3395 9,3345 7,52 7,52 70,23304 70,19544 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-12 9,3375 9,3325 7,48 7,48 69,8445 69,8071 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-13 9,3815 9,3765 7,41 7,41 69,516915 69,479865 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-14 9,4135 9,4085 7,43 7,43 69,942305 69,905155 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-17 9,4575 9,4525 7,43 7,43 70,269225 70,232075 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-18 9,4625 9,4575 7,42 7,42 70,21175 70,17465 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-19 9,4605 9,4555 7,31 7,31 69,156255 69,119705 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-20 9,4935 9,4885 7,31 7,31 69,397485 69,360935 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-21 9,4915 9,4865 7,3 7,3 69,28795 69,25145 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-24 9,5455 9,5405 7,38 7,38 70,44579 70,40889 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-25 9,5465 9,5415 7,35 7,35 70,166775 70,130025 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-26 9,4975 9,4925 7,38 7,38 70,09155 70,05465 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-27 9,5355 9,5305 7,3 7,3 69,60915 69,57265 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-28 9,5135 9,5085 7,3 7,3 69,44855 69,41205 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-10-31 9,5495 9,5445 7,47 7,47 71,334765 71,297415 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-02 9,5855 9,5805 7,49 7,49 71,795395 71,757945 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-03 9,6515 9,6465 7,61 7,61 73,447915 73,409865 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-04 9,5875 9,5825 7,6 7,6 72,865 72,827 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-07 9,6075 9,6025 7,62 7,62 73,20915 73,17105 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-08 9,5685 9,5635 7,63 7,63 73,007655 72,969505 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-09 9,5575 9,5525 7,62 7,62 72,82815 72,79005 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-10 9,6105 9,6055 7,61 7,61 73,135905 73,097855 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-11 9,6365 9,6315 7,69 7,69 74,104685 74,066235 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-14 9,5505 9,5455 7,69 7,69 73,443345 73,404895 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-15 9,5805 9,5755 7,67 7,67 73,482435 73,444085 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-16 9,6235 9,6185 7,6 7,6 73,1386 73,1006 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-17 9,6355 9,6305 7,63 7,63 73,518865 73,480715 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-18 9,6085 9,6035 7,68 7,68 73,79328 73,75488 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-21 9,5915 9,5865 7,72 7,72 74,04638 74,00778 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-22 9,5585 9,5535 7,72 7,72 73,79162 73,75302 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-23 9,5155 9,5105 7,75 7,75 73,745125 73,706375 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-24 9,5125 9,5075 7,74 7,74 73,62675 73,58805 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-25 9,4965 9,4915 7,75 7,75 73,597875 73,559125 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-28 9,4835 9,4785 7,7 7,7 73,02295 72,98445 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-29 9,4785 9,4735 7,69 7,69 72,889665 72,851215 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-11-30 9,5295 9,5245 7,68 7,68 73,18656 73,14816 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-01 9,5165 9,5115 7,8 7,8 74,2287 74,1897 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-02 9,4905 9,4855 7,84 7,84 74,40552 74,36632 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-05 9,4065 9,4015 7,82 7,82 73,55883 73,51973 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-06 9,4185 9,4135 7,82 7,82 73,65267 73,61357 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-07 9,4255 9,4205 7,83 7,83 73,801665 73,762515 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-08 9,3965 9,3915 7,84 7,84 73,66856 73,62936 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-12 9,4315 9,4265 7,82 7,82 73,75433 73,71523 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-13 9,4295 9,4245 7,85 7,85 74,021575 73,982325 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-14 9,4365 9,4315 7,81 7,81 73,699065 73,660015 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-15 9,4345 9,4295 7,78 7,78 73,40041 73,36151 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-16 9,4765 9,4715 7,82 7,82 74,10623 74,06713 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-19 9,4535 9,4485 7,81 7,81 73,831835 73,792785 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-20 9,4015 9,3965 7,84 7,84 73,70776 73,66856 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-21 9,4485 9,4435 7,89 7,89 74,548665 74,509215 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-22 9,4365 9,4315 7,9 7,9 74,54835 74,50885 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-23 9,4425 9,4375 7,9 7,9 74,59575 74,55625 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-27 9,4915 9,4865 7,9 7,9 74,98285 74,94335 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-28 9,4345 9,4295 7,9 7,9 74,53255 74,49305 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-29 9,4115 9,4065 7,91 7,91 74,444965 74,405415 844464 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Europa Top 100 EUR 2005-12-30 9,4325 9,4275 7,9 7,9 74,51675 74,47725 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-03 1 1 131,38 131,38 131,38 131,38 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-04 1 1 131,39 131,39 131,39 131,39 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-05 1 1 131,15 131,15 131,15 131,15 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-07 1 1 131,68 131,68 131,68 131,68 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-10 1 1 131,87 131,87 131,87 131,87 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-11 1 1 131,86 131,86 131,86 131,86 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-12 1 1 131,86 131,86 131,86 131,86 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-13 1 1 132,06 132,06 132,06 132,06 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-14 1 1 132,11 132,11 132,11 132,11 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-17 1 1 132,26 132,26 132,26 132,26 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-18 1 1 132,19 132,19 132,19 132,19 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-19 1 1 132,38 132,38 132,38 132,38 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-20 1 1 132,18 132,18 132,18 132,18 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-21 1 1 132,32 132,32 132,32 132,32 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-24 1 1 132,58 132,58 132,58 132,58 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-25 1 1 132,55 132,55 132,55 132,55 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-26 1 1 132,41 132,41 132,41 132,41 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-27 1 1 132,3 132,3 132,3 132,3 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-28 1 1 132,58 132,58 132,58 132,58 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-01-31 1 1 132,62 132,62 132,62 132,62 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-01 1 1 132,8 132,8 132,8 132,8 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-02 1 1 132,75 132,75 132,75 132,75 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-03 1 1 132,67 132,67 132,67 132,67 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-04 1 1 132,92 132,92 132,92 132,92 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-07 1 1 133,03 133,03 133,03 133,03 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-08 1 1 132,98 132,98 132,98 132,98 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-09 1 1 133,2 133,2 133,2 133,2 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-10 1 1 133,41 133,41 133,41 133,41 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-11 1 1 133,34 133,34 133,34 133,34 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-14 1 1 133,16 133,16 133,16 133,16 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-15 1 1 133,13 133,13 133,13 133,13 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-16 1 1 133,19 133,19 133,19 133,19 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-17 1 1 133,1 133,1 133,1 133,1 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-18 1 1 132,56 132,56 132,56 132,56 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-21 1 1 132,34 132,34 132,34 132,34 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-22 1 1 132,17 132,17 132,17 132,17 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-23 1 1 132,45 132,45 132,45 132,45 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-24 1 1 132,23 132,23 132,23 132,23 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-25 1 1 132,14 132,14 132,14 132,14 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-02-28 1 1 132,36 132,36 132,36 132,36 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-01 1 1 132,32 132,32 132,32 132,32 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-02 1 1 132,04 132,04 132,04 132,04 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-03 1 1 132,16 132,16 132,16 132,16 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-04 1 1 132,52 132,52 132,52 132,52 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-07 1 1 132,75 132,75 132,75 132,75 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-08 1 1 132,83 132,83 132,83 132,83 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-09 1 1 132,52 132,52 132,52 132,52 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-10 1 1 132,53 132,53 132,53 132,53 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-11 1 1 132,31 132,31 132,31 132,31 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-14 1 1 132,32 132,32 132,32 132,32 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-15 1 1 132,62 132,62 132,62 132,62 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-16 1 1 132,51 132,51 132,51 132,51 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-17 1 1 132,62 132,62 132,62 132,62 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-18 1 1 132,56 132,56 132,56 132,56 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-21 1 1 132,46 132,46 132,46 132,46 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-22 1 1 132,67 132,67 132,67 132,67 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-23 1 1 132,58 132,58 132,58 132,58 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-24 1 1 132,73 132,73 132,73 132,73 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-29 1 1 132,78 132,78 132,78 132,78 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-30 1 1 132,87 132,87 132,87 132,87 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-03-31 1 1 133,2 133,2 133,2 133,2 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-01 1 1 133,43 133,43 133,43 133,43 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-04 1 1 133,55 133,55 133,55 133,55 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-05 1 1 133,55 133,55 133,55 133,55 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-06 1 1 133,62 133,62 133,62 133,62 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-07 1 1 133,7 133,7 133,7 133,7 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-08 1 1 133,48 133,48 133,48 133,48 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-11 1 1 133,65 133,65 133,65 133,65 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-12 1 1 133,69 133,69 133,69 133,69 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-13 1 1 133,93 133,93 133,93 133,93 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-14 1 1 134 134 134 134 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-15 1 1 134,31 134,31 134,31 134,31 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-18 1 1 134,41 134,41 134,41 134,41 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-19 1 1 134,49 134,49 134,49 134,49 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-20 1 1 134,48 134,48 134,48 134,48 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-21 1 1 134,53 134,53 134,53 134,53 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-22 1 1 134,76 134,76 134,76 134,76 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-25 1 1 134,92 134,92 134,92 134,92 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-26 1 1 135,07 135,07 135,07 135,07 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-27 1 1 135,27 135,27 135,27 135,27 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-28 1 1 135,43 135,43 135,43 135,43 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-04-29 1 1 135,51 135,51 135,51 135,51 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-02 1 1 135,62 135,62 135,62 135,62 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-03 1 1 135,65 135,65 135,65 135,65 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-04 1 1 135,35 135,35 135,35 135,35 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-06 1 1 135,05 135,05 135,05 135,05 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-09 1 1 135,19 135,19 135,19 135,19 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-10 1 1 135,66 135,66 135,66 135,66 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-11 1 1 135,86 135,86 135,86 135,86 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-12 1 1 135,71 135,71 135,71 135,71 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-13 1 1 136,15 136,15 136,15 136,15 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-17 1 1 136,18 136,18 136,18 136,18 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-18 1 1 136,56 136,56 136,56 136,56 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-19 1 1 136,41 136,41 136,41 136,41 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-20 1 1 136,12 136,12 136,12 136,12 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-23 1 1 136,23 136,23 136,23 136,23 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-24 1 1 136,4 136,4 136,4 136,4 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-25 1 1 136,62 136,62 136,62 136,62 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-26 1 1 136,31 136,31 136,31 136,31 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-27 1 1 136,44 136,44 136,44 136,44 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-30 1 1 136,3 136,3 136,3 136,3 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-05-31 1 1 136,78 136,78 136,78 136,78 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-01 1 1 137,09 137,09 137,09 137,09 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-02 1 1 137,19 137,19 137,19 137,19 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-03 1 1 137,7 137,7 137,7 137,7 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-07 1 1 137,73 137,73 137,73 137,73 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-08 1 1 138,2 138,2 138,2 138,2 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-09 1 1 138,17 138,17 138,17 138,17 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-10 1 1 138,12 138,12 138,12 138,12 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-13 1 1 138,08 138,08 138,08 138,08 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-14 1 1 137,84 137,84 137,84 137,84 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-15 1 1 137,44 137,44 137,44 137,44 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-16 1 1 137,24 137,24 137,24 137,24 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-17 1 1 137,52 137,52 137,52 137,52 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-20 1 1 137,47 137,47 137,47 137,47 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-21 1 1 138,26 138,26 138,26 138,26 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-22 1 1 138,72 138,72 138,72 138,72 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-27 1 1 138,96 138,96 138,96 138,96 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-28 1 1 138,74 138,74 138,74 138,74 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-29 1 1 138,95 138,95 138,95 138,95 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-06-30 1 1 138,95 138,95 138,95 138,95 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-01 1 1 139,08 139,08 139,08 139,08 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-04 1 1 138,81 138,81 138,81 138,81 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-05 1 1 138,49 138,49 138,49 138,49 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-06 1 1 138,58 138,58 138,58 138,58 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-07 1 1 138,87 138,87 138,87 138,87 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-08 1 1 138,93 138,93 138,93 138,93 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-11 1 1 138,65 138,65 138,65 138,65 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-12 1 1 138,51 138,51 138,51 138,51 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-13 1 1 138,37 138,37 138,37 138,37 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-14 1 1 138,2 138,2 138,2 138,2 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-15 1 1 138,15 138,15 138,15 138,15 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-18 1 1 138,3 138,3 138,3 138,3 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-19 1 1 138,22 138,22 138,22 138,22 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-20 1 1 138,26 138,26 138,26 138,26 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-21 1 1 138,33 138,33 138,33 138,33 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-22 1 1 138,65 138,65 138,65 138,65 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-25 1 1 138,83 138,83 138,83 138,83 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-26 1 1 138,7 138,7 138,7 138,7 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-27 1 1 138,95 138,95 138,95 138,95 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-28 1 1 138,75 138,75 138,75 138,75 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-07-29 1 1 138,47 138,47 138,47 138,47 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-01 1 1 137,97 137,97 137,97 137,97 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-02 1 1 137,71 137,71 137,71 137,71 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-03 1 1 137,52 137,52 137,52 137,52 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-04 1 1 137,75 137,75 137,75 137,75 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-05 1 1 137,41 137,41 137,41 137,41 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-08 1 1 137,4 137,4 137,4 137,4 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-09 1 1 137,44 137,44 137,44 137,44 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-10 1 1 137,68 137,68 137,68 137,68 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-11 1 1 137,71 137,71 137,71 137,71 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-12 1 1 137,98 137,98 137,98 137,98 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-16 1 1 138,11 138,11 138,11 138,11 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-17 1 1 138,08 138,08 138,08 138,08 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-18 1 1 138,07 138,07 138,07 138,07 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-19 1 1 138,01 138,01 138,01 138,01 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-22 1 1 138,21 138,21 138,21 138,21 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-23 1 1 138,55 138,55 138,55 138,55 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-24 1 1 138,46 138,46 138,46 138,46 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-25 1 1 138,66 138,66 138,66 138,66 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-26 1 1 138,7 138,7 138,7 138,7 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-29 1 1 138,63 138,63 138,63 138,63 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-30 1 1 138,62 138,62 138,62 138,62 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-08-31 1 1 138,98 138,98 138,98 138,98 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-01 1 1 139,23 139,23 139,23 139,23 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-02 1 1 139,3 139,3 139,3 139,3 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-05 1 1 139,43 139,43 139,43 139,43 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-06 1 1 139,22 139,22 139,22 139,22 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-07 1 1 139,22 139,22 139,22 139,22 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-08 1 1 139,41 139,41 139,41 139,41 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-09 1 1 139,6 139,6 139,6 139,6 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-12 1 1 139,18 139,18 139,18 139,18 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-13 1 1 139,23 139,23 139,23 139,23 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-14 1 1 139,1 139,1 139,1 139,1 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-15 1 1 139,05 139,05 139,05 139,05 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-16 1 1 138,91 138,91 138,91 138,91 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-19 1 1 138,93 138,93 138,93 138,93 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-20 1 1 139,14 139,14 139,14 139,14 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-21 1 1 139,48 139,48 139,48 139,48 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-22 1 1 139,4 139,4 139,4 139,4 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-23 1 1 139,13 139,13 139,13 139,13 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-26 1 1 138,92 138,92 138,92 138,92 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-27 1 1 138,95 138,95 138,95 138,95 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-28 1 1 138,82 138,82 138,82 138,82 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-29 1 1 138,57 138,57 138,57 138,57 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-09-30 1 1 138,64 138,64 138,64 138,64 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-03 1 1 138,24 138,24 138,24 138,24 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-04 1 1 138,33 138,33 138,33 138,33 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-05 1 1 138,4 138,4 138,4 138,4 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-06 1 1 138,28 138,28 138,28 138,28 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-07 1 1 138,26 138,26 138,26 138,26 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-10 1 1 138,29 138,29 138,29 138,29 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-11 1 1 138,21 138,21 138,21 138,21 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-12 1 1 138,05 138,05 138,05 138,05 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-13 1 1 137,93 137,93 137,93 137,93 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-14 1 1 137,96 137,96 137,96 137,96 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-17 1 1 137,96 137,96 137,96 137,96 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-18 1 1 137,98 137,98 137,98 137,98 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-19 1 1 138,21 138,21 138,21 138,21 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-20 1 1 138,05 138,05 138,05 138,05 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-21 1 1 138,26 138,26 138,26 138,26 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-24 1 1 138,36 138,36 138,36 138,36 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-25 1 1 138,15 138,15 138,15 138,15 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-26 1 1 137,74 137,74 137,74 137,74 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-27 1 1 137,75 137,75 137,75 137,75 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-28 1 1 137,66 137,66 137,66 137,66 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-10-31 1 1 137,6 137,6 137,6 137,6 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-02 1 1 137,28 137,28 137,28 137,28 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-03 1 1 137,11 137,11 137,11 137,11 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-04 1 1 136,81 136,81 136,81 136,81 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-07 1 1 136,71 136,71 136,71 136,71 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-08 1 1 136,86 136,86 136,86 136,86 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-09 1 1 136,66 136,66 136,66 136,66 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-10 1 1 136,71 136,71 136,71 136,71 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-11 1 1 136,86 136,86 136,86 136,86 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-14 1 1 136,99 136,99 136,99 136,99 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-15 1 1 136,92 136,92 136,92 136,92 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-16 1 1 137,32 137,32 137,32 137,32 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-17 1 1 137,21 137,21 137,21 137,21 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-18 1 1 136,72 136,72 136,72 136,72 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-21 1 1 137,09 137,09 137,09 137,09 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-22 1 1 137,08 137,08 137,08 137,08 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-23 1 1 137,17 137,17 137,17 137,17 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-24 1 1 137,55 137,55 137,55 137,55 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-25 1 1 137,36 137,36 137,36 137,36 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-28 1 1 137,42 137,42 137,42 137,42 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-29 1 1 137,33 137,33 137,33 137,33 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-11-30 1 1 137,18 137,18 137,18 137,18 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-01 1 1 137,38 137,38 137,38 137,38 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-02 1 1 137,13 137,13 137,13 137,13 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-05 1 1 136,86 136,86 136,86 136,86 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-06 1 1 136,91 136,91 136,91 136,91 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-07 1 1 136,94 136,94 136,94 136,94 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-08 1 1 136,97 136,97 136,97 136,97 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-12 1 1 136,8 136,8 136,8 136,8 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-13 1 1 136,95 136,95 136,95 136,95 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-14 1 1 137,27 137,27 137,27 137,27 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-15 1 1 137,34 137,34 137,34 137,34 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-16 1 1 137,38 137,38 137,38 137,38 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-19 1 1 137,62 137,62 137,62 137,62 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-20 1 1 137,55 137,55 137,55 137,55 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-21 1 1 137,22 137,22 137,22 137,22 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-22 1 1 137,22 137,22 137,22 137,22 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-23 1 1 137,22 137,22 137,22 137,22 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-27 1 1 137,48 137,48 137,48 137,48 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-28 1 1 137,56 137,56 137,56 137,56 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-29 1 1 137,44 137,44 137,44 137,44 513556 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Obligation SEK 2005-12-30 1 1 137,52 137,52 137,52 137,52 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-03 1 1 121,74 121,74 121,74 121,74 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-04 1 1 121,75 121,75 121,75 121,75 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-05 1 1 121,77 121,77 121,77 121,77 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-07 1 1 121,77 121,77 121,77 121,77 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-10 1 1 121,78 121,78 121,78 121,78 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-11 1 1 121,78 121,78 121,78 121,78 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-12 1 1 121,79 121,79 121,79 121,79 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-13 1 1 121,81 121,81 121,81 121,81 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-14 1 1 121,81 121,81 121,81 121,81 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-17 1 1 121,82 121,82 121,82 121,82 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-18 1 1 121,82 121,82 121,82 121,82 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-19 1 1 121,83 121,83 121,83 121,83 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-20 1 1 121,85 121,85 121,85 121,85 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-21 1 1 121,86 121,86 121,86 121,86 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-24 1 1 121,86 121,86 121,86 121,86 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-25 1 1 121,87 121,87 121,87 121,87 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-26 1 1 121,88 121,88 121,88 121,88 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-27 1 1 121,89 121,89 121,89 121,89 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-28 1 1 121,9 121,9 121,9 121,9 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-01-31 1 1 121,9 121,9 121,9 121,9 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-01 1 1 121,91 121,91 121,91 121,91 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-02 1 1 121,91 121,91 121,91 121,91 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-03 1 1 121,93 121,93 121,93 121,93 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-04 1 1 121,94 121,94 121,94 121,94 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-07 1 1 121,94 121,94 121,94 121,94 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-08 1 1 121,94 121,94 121,94 121,94 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-09 1 1 121,95 121,95 121,95 121,95 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-10 1 1 121,97 121,97 121,97 121,97 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-11 1 1 121,97 121,97 121,97 121,97 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-14 1 1 121,98 121,98 121,98 121,98 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-15 1 1 121,98 121,98 121,98 121,98 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-16 1 1 121,99 121,99 121,99 121,99 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-17 1 1 122,01 122,01 122,01 122,01 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-18 1 1 122,01 122,01 122,01 122,01 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-21 1 1 122,02 122,02 122,02 122,02 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-22 1 1 122,02 122,02 122,02 122,02 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-23 1 1 122,02 122,02 122,02 122,02 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-24 1 1 122,04 122,04 122,04 122,04 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-25 1 1 122,05 122,05 122,05 122,05 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-02-28 1 1 122,05 122,05 122,05 122,05 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-01 1 1 122,06 122,06 122,06 122,06 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-02 1 1 122,06 122,06 122,06 122,06 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-03 1 1 122,08 122,08 122,08 122,08 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-04 1 1 122,09 122,09 122,09 122,09 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-07 1 1 122,09 122,09 122,09 122,09 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-08 1 1 122,1 122,1 122,1 122,1 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-09 1 1 122,11 122,11 122,11 122,11 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-10 1 1 122,13 122,13 122,13 122,13 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-11 1 1 122,13 122,13 122,13 122,13 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-14 1 1 122,13 122,13 122,13 122,13 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-15 1 1 122,12 122,12 122,12 122,12 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-16 1 1 122,13 122,13 122,13 122,13 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-17 1 1 122,15 122,15 122,15 122,15 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-18 1 1 122,15 122,15 122,15 122,15 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-21 1 1 122,15 122,15 122,15 122,15 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-22 1 1 122,15 122,15 122,15 122,15 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-23 1 1 122,18 122,18 122,18 122,18 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-24 1 1 122,18 122,18 122,18 122,18 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-29 1 1 122,19 122,19 122,19 122,19 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-30 1 1 122,19 122,19 122,19 122,19 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-03-31 1 1 122,21 122,21 122,21 122,21 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-01 1 1 122,22 122,22 122,22 122,22 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-04 1 1 122,22 122,22 122,22 122,22 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-05 1 1 122,23 122,23 122,23 122,23 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-06 1 1 122,23 122,23 122,23 122,23 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-07 1 1 122,25 122,25 122,25 122,25 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-08 1 1 122,26 122,26 122,26 122,26 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-11 1 1 122,26 122,26 122,26 122,26 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-12 1 1 122,26 122,26 122,26 122,26 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-13 1 1 122,27 122,27 122,27 122,27 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-14 1 1 122,29 122,29 122,29 122,29 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-15 1 1 122,3 122,3 122,3 122,3 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-18 1 1 122,3 122,3 122,3 122,3 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-19 1 1 122,29 122,29 122,29 122,29 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-20 1 1 122,3 122,3 122,3 122,3 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-21 1 1 122,32 122,32 122,32 122,32 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-22 1 1 122,32 122,32 122,32 122,32 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-25 1 1 122,33 122,33 122,33 122,33 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-26 1 1 122,34 122,34 122,34 122,34 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-27 1 1 122,35 122,35 122,35 122,35 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-28 1 1 122,38 122,38 122,38 122,38 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-04-29 1 1 122,39 122,39 122,39 122,39 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-02 1 1 122,4 122,4 122,4 122,4 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-03 1 1 122,43 122,43 122,43 122,43 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-04 1 1 122,44 122,44 122,44 122,44 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-06 1 1 122,45 122,45 122,45 122,45 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-09 1 1 122,45 122,45 122,45 122,45 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-10 1 1 122,48 122,48 122,48 122,48 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-11 1 1 122,48 122,48 122,48 122,48 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-12 1 1 122,49 122,49 122,49 122,49 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-13 1 1 122,5 122,5 122,5 122,5 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-17 1 1 122,52 122,52 122,52 122,52 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-18 1 1 122,53 122,53 122,53 122,53 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-19 1 1 122,55 122,55 122,55 122,55 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-20 1 1 122,54 122,54 122,54 122,54 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-23 1 1 122,54 122,54 122,54 122,54 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-24 1 1 122,55 122,55 122,55 122,55 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-25 1 1 122,56 122,56 122,56 122,56 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-26 1 1 122,57 122,57 122,57 122,57 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-27 1 1 122,6 122,6 122,6 122,6 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-30 1 1 122,59 122,59 122,59 122,59 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-05-31 1 1 122,61 122,61 122,61 122,61 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-01 1 1 122,63 122,63 122,63 122,63 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-02 1 1 122,66 122,66 122,66 122,66 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-03 1 1 122,67 122,67 122,67 122,67 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-07 1 1 122,67 122,67 122,67 122,67 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-08 1 1 122,72 122,72 122,72 122,72 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-09 1 1 122,75 122,75 122,75 122,75 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-10 1 1 122,76 122,76 122,76 122,76 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-13 1 1 122,77 122,77 122,77 122,77 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-14 1 1 122,76 122,76 122,76 122,76 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-15 1 1 122,77 122,77 122,77 122,77 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-16 1 1 122,8 122,8 122,8 122,8 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-17 1 1 122,81 122,81 122,81 122,81 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-20 1 1 122,81 122,81 122,81 122,81 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-21 1 1 122,88 122,88 122,88 122,88 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-22 1 1 122,91 122,91 122,91 122,91 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-27 1 1 122,91 122,91 122,91 122,91 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-28 1 1 122,91 122,91 122,91 122,91 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-29 1 1 122,91 122,91 122,91 122,91 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-06-30 1 1 122,92 122,92 122,92 122,92 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-01 1 1 122,92 122,92 122,92 122,92 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-04 1 1 122,92 122,92 122,92 122,92 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-05 1 1 122,92 122,92 122,92 122,92 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-06 1 1 122,93 122,93 122,93 122,93 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-07 1 1 122,94 122,94 122,94 122,94 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-08 1 1 122,95 122,95 122,95 122,95 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-11 1 1 122,95 122,95 122,95 122,95 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-12 1 1 122,95 122,95 122,95 122,95 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-13 1 1 122,96 122,96 122,96 122,96 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-14 1 1 122,97 122,97 122,97 122,97 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-15 1 1 122,97 122,97 122,97 122,97 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-18 1 1 122,98 122,98 122,98 122,98 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-19 1 1 122,98 122,98 122,98 122,98 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-20 1 1 122,98 122,98 122,98 122,98 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-21 1 1 123,01 123,01 123,01 123,01 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-22 1 1 123 123 123 123 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-25 1 1 123 123 123 123 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-26 1 1 123,01 123,01 123,01 123,01 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-27 1 1 123,01 123,01 123,01 123,01 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-28 1 1 123,02 123,02 123,02 123,02 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-07-29 1 1 123,01 123,01 123,01 123,01 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-01 1 1 123 123 123 123 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-02 1 1 123,01 123,01 123,01 123,01 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-03 1 1 123 123 123 123 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-04 1 1 123,01 123,01 123,01 123,01 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-05 1 1 123,01 123,01 123,01 123,01 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-08 1 1 123,01 123,01 123,01 123,01 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-09 1 1 123,02 123,02 123,02 123,02 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-10 1 1 123,02 123,02 123,02 123,02 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-11 1 1 123,04 123,04 123,04 123,04 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-12 1 1 123,05 123,05 123,05 123,05 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-16 1 1 123,05 123,05 123,05 123,05 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-17 1 1 123,05 123,05 123,05 123,05 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-18 1 1 123,06 123,06 123,06 123,06 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-19 1 1 123,07 123,07 123,07 123,07 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-22 1 1 123,07 123,07 123,07 123,07 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-23 1 1 123,08 123,08 123,08 123,08 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-24 1 1 123,08 123,08 123,08 123,08 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-25 1 1 123,09 123,09 123,09 123,09 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-26 1 1 123,09 123,09 123,09 123,09 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-29 1 1 123,09 123,09 123,09 123,09 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-30 1 1 123,09 123,09 123,09 123,09 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-08-31 1 1 123,1 123,1 123,1 123,1 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-01 1 1 123,12 123,12 123,12 123,12 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-02 1 1 123,13 123,13 123,13 123,13 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-05 1 1 123,13 123,13 123,13 123,13 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-06 1 1 123,13 123,13 123,13 123,13 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-07 1 1 123,13 123,13 123,13 123,13 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-08 1 1 123,15 123,15 123,15 123,15 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-09 1 1 123,16 123,16 123,16 123,16 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-12 1 1 123,15 123,15 123,15 123,15 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-13 1 1 123,15 123,15 123,15 123,15 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-14 1 1 123,16 123,16 123,16 123,16 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-15 1 1 123,17 123,17 123,17 123,17 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-16 1 1 123,16 123,16 123,16 123,16 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-19 1 1 123,17 123,17 123,17 123,17 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-20 1 1 123,18 123,18 123,18 123,18 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-21 1 1 123,18 123,18 123,18 123,18 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-22 1 1 123,2 123,2 123,2 123,2 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-23 1 1 123,2 123,2 123,2 123,2 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-26 1 1 123,2 123,2 123,2 123,2 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-27 1 1 123,2 123,2 123,2 123,2 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-28 1 1 123,2 123,2 123,2 123,2 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-29 1 1 123,21 123,21 123,21 123,21 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-09-30 1 1 123,21 123,21 123,21 123,21 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-03 1 1 123,2 123,2 123,2 123,2 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-04 1 1 123,19 123,19 123,19 123,19 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-05 1 1 123,21 123,21 123,21 123,21 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-06 1 1 123,22 123,22 123,22 123,22 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-07 1 1 123,22 123,22 123,22 123,22 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-10 1 1 123,22 123,22 123,22 123,22 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-11 1 1 123,22 123,22 123,22 123,22 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-12 1 1 123,23 123,23 123,23 123,23 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-13 1 1 123,27 123,27 123,27 123,27 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-14 1 1 123,26 123,26 123,26 123,26 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-17 1 1 123,26 123,26 123,26 123,26 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-18 1 1 123,26 123,26 123,26 123,26 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-19 1 1 123,27 123,27 123,27 123,27 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-20 1 1 123,3 123,3 123,3 123,3 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-21 1 1 123,3 123,3 123,3 123,3 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-24 1 1 123,3 123,3 123,3 123,3 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-25 1 1 123,32 123,32 123,32 123,32 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-26 1 1 123,32 123,32 123,32 123,32 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-27 1 1 123,33 123,33 123,33 123,33 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-28 1 1 123,33 123,33 123,33 123,33 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-10-31 1 1 123,33 123,33 123,33 123,33 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-02 1 1 123,33 123,33 123,33 123,33 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-03 1 1 123,34 123,34 123,34 123,34 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-04 1 1 123,33 123,33 123,33 123,33 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-07 1 1 123,32 123,32 123,32 123,32 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-08 1 1 123,32 123,32 123,32 123,32 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-09 1 1 123,32 123,32 123,32 123,32 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-10 1 1 123,36 123,36 123,36 123,36 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-11 1 1 123,37 123,37 123,37 123,37 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-14 1 1 123,36 123,36 123,36 123,36 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-15 1 1 123,37 123,37 123,37 123,37 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-16 1 1 123,37 123,37 123,37 123,37 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-17 1 1 123,39 123,39 123,39 123,39 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-18 1 1 123,38 123,38 123,38 123,38 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-21 1 1 123,38 123,38 123,38 123,38 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-22 1 1 123,39 123,39 123,39 123,39 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-23 1 1 123,4 123,4 123,4 123,4 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-24 1 1 123,42 123,42 123,42 123,42 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-25 1 1 123,41 123,41 123,41 123,41 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-28 1 1 123,41 123,41 123,41 123,41 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-29 1 1 123,41 123,41 123,41 123,41 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-11-30 1 1 123,41 123,41 123,41 123,41 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-01 1 1 123,43 123,43 123,43 123,43 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-02 1 1 123,41 123,41 123,41 123,41 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-05 1 1 123,39 123,39 123,39 123,39 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-06 1 1 123,39 123,39 123,39 123,39 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-07 1 1 123,4 123,4 123,4 123,4 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-08 1 1 123,41 123,41 123,41 123,41 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-12 1 1 123,42 123,42 123,42 123,42 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-13 1 1 123,42 123,42 123,42 123,42 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-14 1 1 123,42 123,42 123,42 123,42 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-15 1 1 123,44 123,44 123,44 123,44 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-16 1 1 123,44 123,44 123,44 123,44 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-19 1 1 123,44 123,44 123,44 123,44 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-20 1 1 123,45 123,45 123,45 123,45 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-21 1 1 123,45 123,45 123,45 123,45 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-22 1 1 123,47 123,47 123,47 123,47 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-23 1 1 123,48 123,48 123,48 123,48 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-27 1 1 123,48 123,48 123,48 123,48 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-28 1 1 123,48 123,48 123,48 123,48 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-29 1 1 123,49 123,49 123,49 123,49 549386 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Ränta SEK 2005-12-30 1 1 123,5 123,5 123,5 123,5 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-03 1 1 106,12 106,12 106,12 106,12 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-04 1 1 106,76 106,76 106,76 106,76 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-05 1 1 105,65 105,65 105,65 105,65 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-07 1 1 105,88 105,88 105,88 105,88 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-10 1 1 107,35 107,35 107,35 107,35 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-11 1 1 106,05 106,05 106,05 106,05 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-12 1 1 104,01 104,01 104,01 104,01 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-13 1 1 104,48 104,48 104,48 104,48 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-14 1 1 105,26 105,26 105,26 105,26 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-17 1 1 105,99 105,99 105,99 105,99 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-18 1 1 105,73 105,73 105,73 105,73 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-19 1 1 105,69 105,69 105,69 105,69 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-20 1 1 104,45 104,45 104,45 104,45 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-21 1 1 104,14 104,14 104,14 104,14 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-24 1 1 103 103 103 103 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-25 1 1 104,39 104,39 104,39 104,39 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-26 1 1 104,45 104,45 104,45 104,45 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-27 1 1 105,15 105,15 105,15 105,15 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-28 1 1 104,25 104,25 104,25 104,25 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-01-31 1 1 105,02 105,02 105,02 105,02 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-01 1 1 106,18 106,18 106,18 106,18 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-02 1 1 106,78 106,78 106,78 106,78 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-03 1 1 106,19 106,19 106,19 106,19 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-04 1 1 107 107 107 107 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-07 1 1 108,41 108,41 108,41 108,41 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-08 1 1 108,04 108,04 108,04 108,04 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-09 1 1 108,9 108,9 108,9 108,9 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-10 1 1 107,12 107,12 107,12 107,12 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-11 1 1 108,64 108,64 108,64 108,64 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-14 1 1 108,44 108,44 108,44 108,44 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-15 1 1 109,36 109,36 109,36 109,36 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-16 1 1 108,3 108,3 108,3 108,3 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-17 1 1 108,23 108,23 108,23 108,23 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-18 1 1 107,42 107,42 107,42 107,42 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-21 1 1 107,89 107,89 107,89 107,89 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-22 1 1 107,46 107,46 107,46 107,46 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-23 1 1 107,58 107,58 107,58 107,58 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-24 1 1 107,95 107,95 107,95 107,95 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-25 1 1 109,11 109,11 109,11 109,11 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-02-28 1 1 108,91 108,91 108,91 108,91 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-01 1 1 109,34 109,34 109,34 109,34 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-02 1 1 109,83 109,83 109,83 109,83 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-03 1 1 109,91 109,91 109,91 109,91 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-04 1 1 110,93 110,93 110,93 110,93 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-07 1 1 110,53 110,53 110,53 110,53 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-08 1 1 109,86 109,86 109,86 109,86 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-09 1 1 109,83 109,83 109,83 109,83 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-10 1 1 108,49 108,49 108,49 108,49 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-11 1 1 109,13 109,13 109,13 109,13 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-14 1 1 109,51 109,51 109,51 109,51 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-15 1 1 110,13 110,13 110,13 110,13 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-16 1 1 108,41 108,41 108,41 108,41 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-17 1 1 108,52 108,52 108,52 108,52 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-18 1 1 108,18 108,18 108,18 108,18 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-21 1 1 107,74 107,74 107,74 107,74 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-22 1 1 108,58 108,58 108,58 108,58 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-23 1 1 108,82 108,82 108,82 108,82 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-24 1 1 109,13 109,13 109,13 109,13 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-29 1 1 109,17 109,17 109,17 109,17 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-30 1 1 108,83 108,83 108,83 108,83 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-03-31 1 1 109,05 109,05 109,05 109,05 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-01 1 1 110,07 110,07 110,07 110,07 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-04 1 1 109,71 109,71 109,71 109,71 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-05 1 1 110,86 110,86 110,86 110,86 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-06 1 1 111,65 111,65 111,65 111,65 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-07 1 1 111,81 111,81 111,81 111,81 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-08 1 1 112,31 112,31 112,31 112,31 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-11 1 1 112,51 112,51 112,51 112,51 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-12 1 1 111,98 111,98 111,98 111,98 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-13 1 1 112,95 112,95 112,95 112,95 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-14 1 1 113,45 113,45 113,45 113,45 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-15 1 1 111,94 111,94 111,94 111,94 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-18 1 1 110,19 110,19 110,19 110,19 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-19 1 1 110,37 110,37 110,37 110,37 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-20 1 1 110,34 110,34 110,34 110,34 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-21 1 1 110,89 110,89 110,89 110,89 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-22 1 1 112,64 112,64 112,64 112,64 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-25 1 1 112,63 112,63 112,63 112,63 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-26 1 1 111,85 111,85 111,85 111,85 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-27 1 1 109,1 109,1 109,1 109,1 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-28 1 1 107,89 107,89 107,89 107,89 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-04-29 1 1 108,17 108,17 108,17 108,17 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-02 1 1 109,13 109,13 109,13 109,13 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-03 1 1 109,36 109,36 109,36 109,36 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-04 1 1 109,4 109,4 109,4 109,4 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-06 1 1 110,81 110,81 110,81 110,81 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-09 1 1 110,99 110,99 110,99 110,99 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-10 1 1 110,57 110,57 110,57 110,57 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-11 1 1 110,22 110,22 110,22 110,22 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-12 1 1 111,32 111,32 111,32 111,32 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-13 1 1 111,98 111,98 111,98 111,98 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-17 1 1 112,23 112,23 112,23 112,23 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-18 1 1 113,03 113,03 113,03 113,03 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-19 1 1 113,47 113,47 113,47 113,47 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-20 1 1 113,53 113,53 113,53 113,53 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-23 1 1 113,38 113,38 113,38 113,38 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-24 1 1 113,36 113,36 113,36 113,36 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-25 1 1 113,21 113,21 113,21 113,21 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-26 1 1 114,22 114,22 114,22 114,22 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-27 1 1 114,2 114,2 114,2 114,2 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-30 1 1 114,69 114,69 114,69 114,69 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-05-31 1 1 114,61 114,61 114,61 114,61 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-01 1 1 114,89 114,89 114,89 114,89 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-02 1 1 114,17 114,17 114,17 114,17 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-03 1 1 113,85 113,85 113,85 113,85 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-07 1 1 114,59 114,59 114,59 114,59 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-08 1 1 114,98 114,98 114,98 114,98 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-09 1 1 114,86 114,86 114,86 114,86 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-10 1 1 115,39 115,39 115,39 115,39 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-13 1 1 115,72 115,72 115,72 115,72 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-14 1 1 116,66 116,66 116,66 116,66 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-15 1 1 116,06 116,06 116,06 116,06 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-16 1 1 116,79 116,79 116,79 116,79 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-17 1 1 116,72 116,72 116,72 116,72 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-20 1 1 117,13 117,13 117,13 117,13 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-21 1 1 118,12 118,12 118,12 118,12 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-22 1 1 119,5 119,5 119,5 119,5 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-27 1 1 116,96 116,96 116,96 116,96 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-28 1 1 117,43 117,43 117,43 117,43 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-29 1 1 118,53 118,53 118,53 118,53 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-06-30 1 1 118,57 118,57 118,57 118,57 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-01 1 1 119,62 119,62 119,62 119,62 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-04 1 1 120,12 120,12 120,12 120,12 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-05 1 1 119,68 119,68 119,68 119,68 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-06 1 1 119,82 119,82 119,82 119,82 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-07 1 1 118,02 118,02 118,02 118,02 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-08 1 1 119,89 119,89 119,89 119,89 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-11 1 1 121,93 121,93 121,93 121,93 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-12 1 1 121,75 121,75 121,75 121,75 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-13 1 1 122,54 122,54 122,54 122,54 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-14 1 1 122,57 122,57 122,57 122,57 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-15 1 1 122,38 122,38 122,38 122,38 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-18 1 1 122,39 122,39 122,39 122,39 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-19 1 1 122,65 122,65 122,65 122,65 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-20 1 1 122,04 122,04 122,04 122,04 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-21 1 1 122,85 122,85 122,85 122,85 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-22 1 1 122,82 122,82 122,82 122,82 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-25 1 1 122,85 122,85 122,85 122,85 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-26 1 1 123,12 123,12 123,12 123,12 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-27 1 1 123,99 123,99 123,99 123,99 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-28 1 1 124,43 124,43 124,43 124,43 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-07-29 1 1 124,39 124,39 124,39 124,39 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-01 1 1 124,33 124,33 124,33 124,33 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-02 1 1 125,26 125,26 125,26 125,26 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-03 1 1 125,14 125,14 125,14 125,14 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-04 1 1 124,32 124,32 124,32 124,32 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-05 1 1 123,98 123,98 123,98 123,98 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-08 1 1 124,02 124,02 124,02 124,02 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-09 1 1 124,29 124,29 124,29 124,29 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-10 1 1 125,84 125,84 125,84 125,84 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-11 1 1 125,19 125,19 125,19 125,19 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-12 1 1 124,87 124,87 124,87 124,87 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-16 1 1 124,58 124,58 124,58 124,58 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-17 1 1 124,03 124,03 124,03 124,03 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-18 1 1 124,08 124,08 124,08 124,08 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-19 1 1 124,67 124,67 124,67 124,67 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-22 1 1 124,71 124,71 124,71 124,71 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-23 1 1 123,66 123,66 123,66 123,66 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-24 1 1 122,25 122,25 122,25 122,25 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-25 1 1 121,65 121,65 121,65 121,65 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-26 1 1 120,06 120,06 120,06 120,06 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-29 1 1 121,07 121,07 121,07 121,07 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-30 1 1 120,64 120,64 120,64 120,64 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-08-31 1 1 122,17 122,17 122,17 122,17 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-01 1 1 122,52 122,52 122,52 122,52 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-02 1 1 122,71 122,71 122,71 122,71 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-05 1 1 123,22 123,22 123,22 123,22 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-06 1 1 123,85 123,85 123,85 123,85 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-07 1 1 124,16 124,16 124,16 124,16 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-08 1 1 123,79 123,79 123,79 123,79 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-09 1 1 124,86 124,86 124,86 124,86 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-12 1 1 125,03 125,03 125,03 125,03 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-13 1 1 125,01 125,01 125,01 125,01 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-14 1 1 125,57 125,57 125,57 125,57 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-15 1 1 124,92 124,92 124,92 124,92 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-16 1 1 125,52 125,52 125,52 125,52 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-19 1 1 125,44 125,44 125,44 125,44 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-20 1 1 125,49 125,49 125,49 125,49 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-21 1 1 124,21 124,21 124,21 124,21 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-22 1 1 124,79 124,79 124,79 124,79 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-23 1 1 125,08 125,08 125,08 125,08 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-26 1 1 126,88 126,88 126,88 126,88 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-27 1 1 126,84 126,84 126,84 126,84 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-28 1 1 128,03 128,03 128,03 128,03 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-29 1 1 128,07 128,07 128,07 128,07 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-09-30 1 1 128,78 128,78 128,78 128,78 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-03 1 1 130,08 130,08 130,08 130,08 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-04 1 1 129,63 129,63 129,63 129,63 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-05 1 1 129,14 129,14 129,14 129,14 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-06 1 1 127,69 127,69 127,69 127,69 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-07 1 1 127,56 127,56 127,56 127,56 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-10 1 1 128,2 128,2 128,2 128,2 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-11 1 1 128,2 128,2 128,2 128,2 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-12 1 1 126,81 126,81 126,81 126,81 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-13 1 1 125,66 125,66 125,66 125,66 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-14 1 1 125,87 125,87 125,87 125,87 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-17 1 1 125,41 125,41 125,41 125,41 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-18 1 1 124,99 124,99 124,99 124,99 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-19 1 1 123,11 123,11 123,11 123,11 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-20 1 1 123,25 123,25 123,25 123,25 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-21 1 1 122,71 122,71 122,71 122,71 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-24 1 1 123,99 123,99 123,99 123,99 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-25 1 1 125,04 125,04 125,04 125,04 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-26 1 1 125,38 125,38 125,38 125,38 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-27 1 1 123,84 123,84 123,84 123,84 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-28 1 1 123,84 123,84 123,84 123,84 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-10-31 1 1 126,67 126,67 126,67 126,67 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-02 1 1 127,51 127,51 127,51 127,51 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-03 1 1 128,91 128,91 128,91 128,91 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-04 1 1 128,64 128,64 128,64 128,64 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-07 1 1 129,43 129,43 129,43 129,43 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-08 1 1 129 129 129 129 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-09 1 1 129,26 129,26 129,26 129,26 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-10 1 1 129,16 129,16 129,16 129,16 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-11 1 1 131,16 131,16 131,16 131,16 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-14 1 1 131,13 131,13 131,13 131,13 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-15 1 1 130,92 130,92 130,92 130,92 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-16 1 1 130,87 130,87 130,87 130,87 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-17 1 1 131,17 131,17 131,17 131,17 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-18 1 1 131,7 131,7 131,7 131,7 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-21 1 1 132,51 132,51 132,51 132,51 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-22 1 1 131,51 131,51 131,51 131,51 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-23 1 1 132,22 132,22 132,22 132,22 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-24 1 1 131,64 131,64 131,64 131,64 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-25 1 1 131,89 131,89 131,89 131,89 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-28 1 1 132,2 132,2 132,2 132,2 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-29 1 1 131,77 131,77 131,77 131,77 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-11-30 1 1 130,63 130,63 130,63 130,63 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-01 1 1 132,9 132,9 132,9 132,9 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-02 1 1 133,89 133,89 133,89 133,89 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-05 1 1 132,96 132,96 132,96 132,96 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-06 1 1 134,19 134,19 134,19 134,19 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-07 1 1 134,29 134,29 134,29 134,29 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-08 1 1 135,04 135,04 135,04 135,04 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-12 1 1 134,77 134,77 134,77 134,77 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-13 1 1 135,06 135,06 135,06 135,06 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-14 1 1 134,22 134,22 134,22 134,22 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-15 1 1 133,92 133,92 133,92 133,92 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-16 1 1 135,17 135,17 135,17 135,17 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-19 1 1 135,12 135,12 135,12 135,12 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-20 1 1 135,14 135,14 135,14 135,14 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-21 1 1 135,9 135,9 135,9 135,9 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-22 1 1 136,32 136,32 136,32 136,32 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-23 1 1 137,29 137,29 137,29 137,29 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-27 1 1 138,19 138,19 138,19 138,19 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-28 1 1 137,61 137,61 137,61 137,61 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-29 1 1 138,34 138,34 138,34 138,34 585216 Moderna Fonder (Banque Invik S.A.) Moderna Fonder - Sverige Topp 30 SEK 2005-12-30 1 1 137,49 137,49 137,49 137,49 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-03 6,668 6,658 20,28 20,28 135,22704 135,02424 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-04 6,728 6,718 20,16 20,16 135,63648 135,43488 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-05 6,828 6,818 19,84 19,84 135,46752 135,26912 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-07 6,87 6,86 19,76 19,76 135,7512 135,5536 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-10 6,96091 6,95091 19,66 19,66 136,8514906 136,6548906 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-11 6,96091 6,95091 19,75 19,75 137,4779725 137,2804725 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-12 6,913 6,903 19,72 19,72 136,32436 136,12716 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-13 6,843 6,833 19,86 19,86 135,90198 135,70338 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-14 6,915 6,905 19,92 19,92 137,7468 137,5476 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-17 6,915 6,905 20,22 20,22 139,8213 139,6191 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-18 6,968 6,958 20,19 20,19 140,68392 140,48202 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-19 6,91 6,9 20,25 20,25 139,9275 139,725 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-20 6,96 6,95 20,16 20,16 140,3136 140,112 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-21 6,978 6,968 20,11 20,11 140,32758 140,12648 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-24 6,933 6,923 20,11 20,11 139,42263 139,22153 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-25 6,95 6,94 20,16 20,16 140,112 139,9104 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-26 6,995 6,985 20,33 20,33 142,20835 142,00505 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-27 6,93 6,92 20,3 20,3 140,679 140,476 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-28 6,985 6,975 20,39 20,39 142,42415 142,22025 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-01-31 6,998 6,988 20,55 20,55 143,8089 143,6034 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-01 6,993 6,983 20,4 20,4 142,6572 142,4532 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-02 6,953 6,943 20,5 20,5 142,5365 142,3315 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-03 6,968 6,958 20,57 20,57 143,33176 143,12606 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-04 7,01 7 20,65 20,65 144,7565 144,55 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-07 7,065 7,055 20,84 20,84 147,2346 147,0262 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-08 7,123 7,113 20,8 20,8 148,1584 147,9504 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-09 7,1 7,09 20,77 20,77 147,467 147,2593 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-10 7,088 7,078 20,76 20,76 147,14688 146,93928 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-11 7,068 7,058 20,75 20,75 146,661 146,4535 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-14 7,03 7,02 21,05 21,05 147,9815 147,771 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-15 7,005 6,995 21,15 21,15 148,15575 147,94425 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-16 6,973 6,963 21,24 21,24 148,10652 147,89412 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-17 6,97 6,96 21,14 21,14 147,3458 147,1344 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-18 6,965 6,955 21,32 21,32 148,4938 148,2806 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-21 6,978 6,968 21,36 21,36 149,05008 148,83648 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-22 6,905 6,895 21,32 21,32 147,2146 147,0014 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-23 6,895 6,885 21,21 21,21 146,24295 146,03085 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-24 6,858 6,848 21,53 21,53 147,65274 147,43744 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-25 6,885 6,875 21,62 21,62 148,8537 148,6375 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-02-28 6,828 6,818 21,68 21,68 148,03104 147,81424 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-01 6,87 6,86 21,72 21,72 149,2164 148,9992 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-02 6,888 6,878 21,55 21,55 148,4364 148,2209 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-03 6,903 6,893 21,59 21,59 149,03577 148,81987 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-04 6,9 6,89 21,49 21,49 148,281 148,0661 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-07 6,84 6,83 21,58 21,58 147,6072 147,3914 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-08 6,825 6,815 21,53 21,53 146,94225 146,72695 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-09 6,76 6,75 21,69 21,69 146,6244 146,4075 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-10 6,745 6,735 21,63 21,63 145,89435 145,67805 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-11 6,765 6,755 21,72 21,72 146,9358 146,7186 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-14 6,76 6,75 21,55 21,55 145,678 145,4625 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-15 6,815 6,805 21,22 21,22 144,6143 144,4021 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-16 6,81 6,8 21,37 21,37 145,5297 145,316 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-17 6,795 6,785 21,3 21,3 144,7335 144,5205 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-18 6,828 6,818 21,26 21,26 145,16328 144,95068 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-21 6,908 6,898 21,16 21,16 146,17328 145,96168 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-22 6,928 6,918 21,08 21,08 146,04224 145,83144 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-23 6,973 6,963 20,87 20,87 145,52651 145,31781 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-24 7,008 6,998 20,69 20,69 144,99552 144,78862 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-29 7,055 7,045 20,42 20,42 144,0631 143,8589 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-30 7,053 7,043 20,31 20,31 143,24643 143,04333 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-03-31 7,065 7,055 20,55 20,55 145,18575 144,98025 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-01 7,07 7,06 20,74 20,74 146,6318 146,4244 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-04 7,113 7,103 20,62 20,62 146,67006 146,46386 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-05 7,163 7,153 20,6 20,6 147,5578 147,3518 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-06 7,125 7,115 20,73 20,73 147,70125 147,49395 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-07 7,083 7,073 20,76 20,76 147,04308 146,83548 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-08 7,153 7,143 20,85 20,85 149,14005 148,93155 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-11 7,098 7,088 20,82 20,82 147,78036 147,57216 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-12 7,048 7,038 20,87 20,87 147,09176 146,88306 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-13 7,075 7,065 20,98 20,98 148,4335 148,2237 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-14 7,12 7,11 20,81 20,81 148,1672 147,9591 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-15 7,17 7,16 20,51 20,51 147,0567 146,8516 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-18 7,08 7,07 20,02 20,02 141,7416 141,5414 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-19 7,068 7,058 20,25 20,25 143,127 142,9245 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-20 7,043 7,033 20,37 20,37 143,46591 143,26221 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-21 7,025 7,015 20,36 20,36 143,029 142,8254 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-22 7,023 7,013 20,47 20,47 143,76081 143,55611 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-25 7,04 7,03 20,43 20,43 143,8272 143,6229 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-26 7,035 7,025 20,51 20,51 144,28785 144,08275 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-27 7,085 7,075 20,41 20,41 144,60485 144,40075 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-28 7,085 7,075 20,36 20,36 144,2506 144,047 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-04-29 7,08 7,07 20,35 20,35 144,078 143,8745 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-02 7,15 7,14 20,34 20,34 145,431 145,2276 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-03 7,178 7,168 20,39 20,39 146,35942 146,15552 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-04 7,11 7,1 20,55 20,55 146,1105 145,905 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-06 7,085 7,075 20,88 20,88 147,9348 147,726 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-09 7,168 7,158 20,84 20,84 149,38112 149,17272 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-10 7,178 7,168 20,77 20,77 149,08706 148,87936 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-11 7,15 7,14 20,69 20,69 147,9335 147,7266 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-12 7,243 7,233 20,7 20,7 149,9301 149,7231 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-13 7,265 7,255 20,64 20,64 149,9496 149,7432 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-17 7,313 7,303 20,44 20,44 149,47772 149,27332 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-18 7,3 7,29 20,47 20,47 149,431 149,2263 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-19 7,26 7,25 20,68 20,68 150,1368 149,93 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-20 7,28 7,27 20,59 20,59 149,8952 149,6893 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-23 7,32 7,31 20,47 20,47 149,8404 149,6357 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-24 7,295 7,285 20,5 20,5 149,5475 149,3425 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-25 7,298 7,288 20,38 20,38 148,73324 148,52944 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-26 7,33 7,32 20,43 20,43 149,7519 149,5476 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-27 7,338 7,328 20,67 20,67 151,67646 151,46976 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-30 7,338 7,328 20,78 20,78 152,48364 152,27584 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-05-31 7,403 7,393 20,71 20,71 153,31613 153,10903 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-01 7,428 7,418 20,59 20,59 152,94252 152,73662 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-02 7,473 7,463 20,65 20,65 154,31745 154,11095 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-03 7,438 7,428 20,79 20,79 154,63602 154,42812 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-07 7,448 7,438 20,86 20,86 155,36528 155,15668 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-08 7,435 7,425 20,95 20,95 155,76325 155,55375 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-09 7,523 7,513 20,93 20,93 157,45639 157,24709 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-10 7,525 7,515 21,02 21,02 158,1755 157,9653 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-13 7,643 7,633 20,96 20,96 160,19728 159,98768 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-14 7,663 7,653 20,91 20,91 160,23333 160,02423 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-15 7,693 7,683 21,05 21,05 161,93765 161,72715 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-16 7,678 7,668 21,05 21,05 161,6219 161,4114 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-17 7,643 7,633 21,14 21,14 161,57302 161,36162 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-20 7,543 7,533 21,07 21,07 158,93101 158,72031 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-21 7,648 7,638 21,05 21,05 160,9904 160,7799 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-22 7,608 7,598 21,3 21,3 162,0504 161,8374 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-27 7,73 7,72 21,16 21,16 163,5668 163,3552 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-28 7,76 7,75 21,12 21,12 163,8912 163,68 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-29 7,833 7,823 21,08 21,08 165,11964 164,90884 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-06-30 7,823 7,813 21,08 21,08 164,90884 164,69804 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-01 7,858 7,848 21,17 21,17 166,35386 166,14216 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-04 7,945 7,935 21,1 21,1 167,6395 167,4285 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-05 7,963 7,953 20,92 20,92 166,58596 166,37676 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-06 7,895 7,885 21 21 165,795 165,585 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-07 7,878 7,868 20,97 20,97 165,20166 164,99196 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-08 7,913 7,903 20,88 20,88 165,22344 165,01464 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-11 7,89 7,88 21,26 21,26 167,7414 167,5288 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-12 7,77 7,76 21,39 21,39 166,2003 165,9864 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-13 7,703 7,693 21,5 21,5 165,6145 165,3995 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-14 7,76 7,75 21,77 21,77 168,9352 168,7175 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-15 7,76 7,75 21,69 21,69 168,3144 168,0975 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-18 7,78 7,77 21,76 21,76 169,2928 169,0752 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-19 7,878 7,868 21,88 21,88 172,37064 172,15184 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-20 7,818 7,808 21,91 21,91 171,29238 171,07328 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-21 7,775 7,765 21,93 21,93 170,50575 170,28645 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-22 7,758 7,748 22,14 22,14 171,76212 171,54072 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-25 7,838 7,828 22,15 22,15 173,6117 173,3902 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-26 7,818 7,808 22,11 22,11 172,85598 172,63488 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-27 7,905 7,895 22,1 22,1 174,7005 174,4795 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-28 7,848 7,838 22,29 22,29 174,93192 174,70902 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-07-29 7,748 7,738 22,35 22,35 173,1678 172,9443 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-01 7,72 7,71 22,47 22,47 173,4684 173,2437 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-02 7,7 7,69 22,62 22,62 174,174 173,9478 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-03 7,685 7,675 22,79 22,79 175,14115 174,91325 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-04 7,618 7,608 22,81 22,81 173,76658 173,53848 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-05 7,548 7,538 22,6 22,6 170,5848 170,3588 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-08 7,558 7,548 22,55 22,55 170,4329 170,2074 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-09 7,548 7,538 22,51 22,51 169,90548 169,68038 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-10 7,558 7,548 22,59 22,59 170,73522 170,50932 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-11 7,523 7,513 22,7 22,7 170,7721 170,5451 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-12 7,46 7,45 22,7 22,7 169,342 169,115 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-16 7,523 7,513 22,4 22,4 168,5152 168,2912 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-17 7,605 7,595 22,35 22,35 169,97175 169,74825 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-18 7,61 7,6 22,1 22,1 168,181 167,96 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-19 7,698 7,688 21,99 21,99 169,27902 169,05912 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-22 7,69 7,68 22,24 22,24 171,0256 170,8032 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-23 7,663 7,653 22,15 22,15 169,73545 169,51395 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-24 7,673 7,663 21,93 21,93 168,26889 168,04959 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-25 7,588 7,578 21,98 21,98 166,78424 166,56444 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-26 7,578 7,568 22 22 166,716 166,496 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-29 7,573 7,563 21,61 21,61 163,65253 163,43643 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-30 7,633 7,623 21,62 21,62 165,02546 164,80926 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-08-31 7,668 7,658 21,63 21,63 165,85884 165,64254 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-01 7,568 7,558 21,99 21,99 166,42032 166,20042 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-02 7,435 7,425 22,21 22,21 165,13135 164,90925 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-05 7,41 7,4 22,23 22,23 164,7243 164,502 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-06 7,485 7,475 22,31 22,31 166,99035 166,76725 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-07 7,43 7,42 22,49 22,49 167,1007 166,8758 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-08 7,498 7,488 22,45 22,45 168,3301 168,1056 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-09 7,523 7,513 22,44 22,44 168,81612 168,59172 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-12 7,555 7,545 22,58 22,58 170,5919 170,3661 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-13 7,57 7,56 22,5 22,5 170,325 170,1 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-14 7,61 7,6 22,56 22,56 171,6816 171,456 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-15 7,658 7,648 22,46 22,46 171,99868 171,77408 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-16 7,613 7,603 22,35 22,35 170,15055 169,92705 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-19 7,698 7,688 22,32 22,32 171,81936 171,59616 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-20 7,688 7,678 22,56 22,56 173,44128 173,21568 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-21 7,663 7,653 22,54 22,54 172,72402 172,49862 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-22 7,648 7,638 22,39 22,39 171,23872 171,01482 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-23 7,733 7,723 22,14 22,14 171,20862 170,98722 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-26 7,798 7,788 22,26 22,26 173,58348 173,36088 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-27 7,825 7,815 22,26 22,26 174,1845 173,9619 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-28 7,81 7,8 22,34 22,34 174,4754 174,252 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-29 7,785 7,775 22,52 22,52 175,3182 175,093 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-09-30 7,785 7,775 22,58 22,58 175,7853 175,5595 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-03 7,783 7,773 22,53 22,53 175,35099 175,12569 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-04 7,82 7,81 22,69 22,69 177,4358 177,2089 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-05 7,795 7,785 22,57 22,57 175,93315 175,70745 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-06 7,713 7,703 22,18 22,18 171,07434 170,85254 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-07 7,683 7,673 22,17 22,17 170,33211 170,11041 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-10 7,698 7,688 22,33 22,33 171,89634 171,67304 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-11 7,77 7,76 22,34 22,34 173,5818 173,3584 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-12 7,805 7,795 21,97 21,97 171,47585 171,25615 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-13 7,83 7,82 21,79 21,79 170,6157 170,3978 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-14 7,833 7,823 21,7 21,7 169,9761 169,7591 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-17 7,835 7,825 21,5 21,5 168,4525 168,2375 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-18 7,893 7,883 21,53 21,53 169,93629 169,72099 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-19 7,96 7,95 21,03 21,03 167,3988 167,1885 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-20 7,93 7,92 21,17 21,17 167,8781 167,6664 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-21 7,883 7,873 21,36 21,36 168,38088 168,16728 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-24 7,995 7,985 21,23 21,23 169,73385 169,52155 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-25 7,99 7,98 21,19 21,19 169,3081 169,0962 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-26 7,868 7,858 21,25 21,25 167,195 166,9825 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-27 7,868 7,858 21,1 21,1 166,0148 165,8038 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-28 7,825 7,815 20,87 20,87 163,30775 163,09905 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-10-31 7,905 7,895 21,3 21,3 168,3765 168,1635 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-02 7,98 7,97 21,82 21,82 174,1236 173,9054 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-03 8,01 8 21,97 21,97 175,9797 175,76 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-04 8,028 8,018 21,94 21,94 176,13432 175,91492 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-07 8,135 8,125 21,72 21,72 176,6922 176,475 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-08 8,17 8,16 21,7 21,7 177,289 177,072 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-09 8,12 8,11 21,83 21,83 177,2596 177,0413 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-10 8,173 8,163 21,83 21,83 178,41659 178,19829 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-11 8,235 8,225 22,05 22,05 181,58175 181,36125 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-14 8,133 8,123 22,06 22,06 179,41398 179,19338 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-15 8,185 8,175 21,98 21,98 179,9063 179,6865 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-16 8,21 8,2 22 22 180,62 180,4 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-17 8,258 8,248 22,04 22,04 182,00632 181,78592 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-18 8,223 8,213 22,28 22,28 183,20844 182,98564 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-21 8,123 8,113 22,24 22,24 180,65552 180,43312 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-22 8,15 8,14 22 22 179,3 179,08 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-23 8,048 8,038 22,42 22,42 180,43616 180,21196 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-24 8,053 8,043 22,45 22,45 180,78985 180,56535 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-25 8,078 8,068 22,48 22,48 181,59344 181,36864 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-28 8,118 8,108 22,55 22,55 183,0609 182,8354 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-29 8,015 8,005 22,41 22,41 179,61615 179,39205 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-11-30 8,088 8,078 22,58 22,58 182,62704 182,40124 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-01 8,083 8,073 22,75 22,75 183,88825 183,66075 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-02 8,103 8,093 22,8 22,8 184,7484 184,5204 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-05 8,045 8,035 22,97 22,97 184,79365 184,56395 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-06 7,993 7,983 23,04 23,04 184,15872 183,92832 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-07 8,015 8,005 23,14 23,14 185,4671 185,2357 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-08 7,988 7,978 23,09 23,09 184,44292 184,21202 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-12 7,953 7,943 23,3 23,3 185,3049 185,0719 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-13 7,905 7,895 23,21 23,21 183,47505 183,24295 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-14 7,848 7,838 23,3 23,3 182,8584 182,6254 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-15 7,858 7,848 23,35 23,35 183,4843 183,2508 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-16 7,903 7,893 23,38 23,38 184,77214 184,53834 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-19 7,865 7,855 23,49 23,49 184,74885 184,51395 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-20 7,848 7,838 23,41 23,41 183,72168 183,48758 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-21 7,948 7,938 23,55 23,55 187,1754 186,9399 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-22 7,98 7,97 23,49 23,49 187,4502 187,2153 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-23 7,955 7,945 23,68 23,68 188,3744 188,1376 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-27 8,01 8 23,84 23,84 190,9584 190,72 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-28 7,915 7,905 23,76 23,76 188,0604 187,8228 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-29 7,938 7,928 23,96 23,96 190,19448 189,95488 389650 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Asian Equity Fund USD 2005-12-30 7,958 7,948 23,86 23,86 189,87788 189,63928 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-03 9,0065 9,0015 29,76 29,76 268,03344 267,88464 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-04 9,0345 9,0295 29,93 29,93 270,402585 270,252935 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-05 9,0615 9,0565 29,48 29,48 267,13302 266,98562 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-07 9,0615 9,0565 29,86 29,86 270,57639 270,42709 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-10 9,08619 9,08119 30,13 30,13 273,7669047 273,6162547 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-11 9,08619 9,08119 30,39 30,39 276,1293141 275,9773641 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-12 9,0455 9,0405 30,46 30,46 275,52593 275,37363 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-13 9,0505 9,0455 30,48 30,48 275,85924 275,70684 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-14 9,0455 9,0405 30,71 30,71 277,787305 277,633755 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-17 9,0685 9,0635 31,19 31,19 282,846515 282,690565 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-18 9,0585 9,0535 31,5 31,5 285,34275 285,18525 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-19 9,0225 9,0175 31,54 31,54 284,56965 284,41195 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-20 9,0315 9,0265 31,78 31,78 287,02107 286,86217 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-21 9,0505 9,0455 31,72 31,72 287,08186 286,92326 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-24 9,0655 9,0605 32,05 32,05 290,549275 290,389025 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-25 9,0715 9,0665 32,08 32,08 291,01372 290,85332 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-26 9,0885 9,0835 32,16 32,16 292,28616 292,12536 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-27 9,0675 9,0625 32,27 32,27 292,608225 292,446875 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-28 9,0955 9,0905 32,55 32,55 296,058525 295,895775 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-01-31 9,1075 9,1025 32,75 32,75 298,270625 298,106875 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-01 9,1035 9,0985 32,93 32,93 299,778255 299,613605 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-02 9,0905 9,0855 32,96 32,96 299,62288 299,45808 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-03 9,0695 9,0645 33,53 33,53 304,100335 303,932685 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-04 9,0895 9,0845 33,64 33,64 305,77078 305,60258 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-07 9,0755 9,0705 34 34 308,567 308,397 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-08 9,0895 9,0845 33,79 33,79 307,134205 306,965255 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-09 9,0695 9,0645 33,56 33,56 304,37242 304,20462 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-10 9,0805 9,0755 33,41 33,41 303,379505 303,212455 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-11 9,0935 9,0885 33,33 33,33 303,086355 302,919705 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-14 9,1105 9,1055 33,52 33,52 305,38396 305,21636 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-15 9,0765 9,0715 33,59 33,59 304,879635 304,711685 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-16 9,0705 9,0655 33,64 33,64 305,13162 304,96342 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-17 9,0925 9,0875 33,48 33,48 304,4169 304,2495 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-18 9,0945 9,0895 33,47 33,47 304,392915 304,225565 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-21 9,1185 9,1135 33,5 33,5 305,46975 305,30225 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-22 9,0975 9,0925 33,22 33,22 302,21895 302,05285 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-23 9,1045 9,0995 32,97 32,97 300,175365 300,010515 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-24 9,0715 9,0665 33,32 33,32 302,26238 302,09578 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-25 9,0845 9,0795 33,73 33,73 306,420185 306,251535 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-02-28 9,0505 9,0455 33,92 33,92 306,99296 306,82336 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-01 9,0565 9,0515 34,06 34,06 308,46439 308,29409 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-02 9,0645 9,0595 34,18 34,18 309,82461 309,65371 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-03 9,0675 9,0625 34,27 34,27 310,743225 310,571875 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-04 9,0415 9,0365 34,88 34,88 315,36752 315,19312 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-07 9,0425 9,0375 35,1 35,1 317,39175 317,21625 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-08 9,0345 9,0295 34,97 34,97 315,936465 315,761615 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-09 9,0365 9,0315 34,87 34,87 315,102755 314,928405 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-10 9,0655 9,0605 34,67 34,67 314,300885 314,127535 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-11 9,0795 9,0745 34,69 34,69 314,967855 314,794405 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-14 9,0695 9,0645 34,51 34,51 312,988445 312,815895 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-15 9,1035 9,0985 34,4 34,4 313,1604 312,9884 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-16 9,0975 9,0925 33,64 33,64 306,0399 305,8717 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-17 9,1045 9,0995 32,84 32,84 298,99178 298,82758 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-18 9,1035 9,0985 32,98 32,98 300,23343 300,06853 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-21 9,1265 9,1215 33,1 33,1 302,08715 301,92165 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-22 9,1265 9,1215 32,58 32,58 297,34137 297,17847 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-23 9,1165 9,1115 32,89 32,89 299,841685 299,677235 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-24 9,1135 9,1085 33,18 33,18 302,38593 302,22003 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-29 9,1315 9,1265 32,95 32,95 300,882925 300,718175 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-30 9,1425 9,1375 32,59 32,59 297,954075 297,791125 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-03-31 9,1405 9,1355 33,25 33,25 303,921625 303,755375 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-01 9,1645 9,1595 33,54 33,54 307,37733 307,20963 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-04 9,1695 9,1645 33,57 33,57 307,820115 307,652265 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-05 9,1745 9,1695 33,63 33,63 308,538435 308,370285 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-06 9,1705 9,1655 34,01 34,01 311,888705 311,718655 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-07 9,1505 9,1455 34,25 34,25 313,404625 313,233375 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-08 9,1625 9,1575 34,42 34,42 315,37325 315,20115 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-11 9,1705 9,1655 33,8 33,8 309,9629 309,7939 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-12 9,1525 9,1475 33,53 33,53 306,883325 306,715675 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-13 9,1495 9,1445 33,48 33,48 306,32526 306,15786 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-14 9,1685 9,1635 33,53 33,53 307,419805 307,252155 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-15 9,1925 9,1875 33,12 33,12 304,4556 304,29 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-18 9,1805 9,1755 32,09 32,09 294,602245 294,441795 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-19 9,2035 9,1985 32,35 32,35 297,733225 297,571475 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-20 9,1915 9,1865 32,57 32,57 299,367155 299,204305 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-21 9,1855 9,1805 32,32 32,32 296,87536 296,71376 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-22 9,1625 9,1575 32,72 32,72 299,797 299,6334 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-25 9,1685 9,1635 32,85 32,85 301,185225 301,020975 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-26 9,1375 9,1325 33 33 301,5375 301,3725 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-27 9,1465 9,1415 32,87 32,87 300,645455 300,481105 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-28 9,1505 9,1455 32,67 32,67 298,946835 298,783485 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-04-29 9,1705 9,1655 32,29 32,29 296,115445 295,953995 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-02 9,1935 9,1885 32,7 32,7 300,62745 300,46395 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-03 9,2245 9,2195 32,69 32,69 301,548905 301,385455 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-04 9,1915 9,1865 32,86 32,86 302,03269 301,86839 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-06 9,1715 9,1665 33,53 33,53 307,520395 307,352745 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-09 9,1815 9,1765 33,84 33,84 310,70196 310,53276 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-10 9,1985 9,1935 33,76 33,76 310,54136 310,37256 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-11 9,2105 9,2055 33,54 33,54 308,92017 308,75247 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-12 9,2315 9,2265 34,11 34,11 314,886465 314,715915 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-13 9,2045 9,1995 34,42 34,42 316,81889 316,64679 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-17 9,2325 9,2275 34,02 34,02 314,08965 313,91955 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-18 9,2095 9,2045 34,34 34,34 316,25423 316,08253 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-19 9,1905 9,1855 34,39 34,39 316,061295 315,889345 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-20 9,1955 9,1905 34,43 34,43 316,601065 316,428915 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-23 9,1805 9,1755 34,12 34,12 313,23866 313,06806 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-24 9,1815 9,1765 33,99 33,99 312,079185 311,909235 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-25 9,1785 9,1735 34,01 34,01 312,160785 311,990735 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-26 9,1945 9,1895 34,22 34,22 314,63579 314,46469 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-27 9,1955 9,1905 34,35 34,35 315,865425 315,693675 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-30 9,1905 9,1855 34,5 34,5 317,07225 316,89975 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-05-31 9,1665 9,1615 35,19 35,19 322,569135 322,393185 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-01 9,1455 9,1405 35,61 35,61 325,671255 325,493205 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-02 9,1565 9,1515 35,53 35,53 325,330445 325,152795 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-03 9,1315 9,1265 35,66 35,66 325,62929 325,45099 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-07 9,1455 9,1405 35,89 35,89 328,231995 328,052545 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-08 9,1455 9,1405 36,01 36,01 329,329455 329,149405 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-09 9,1965 9,1915 36,4 36,4 334,7526 334,5706 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-10 9,1975 9,1925 36,43 36,43 335,064925 334,882775 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-13 9,2365 9,2315 36,57 36,57 337,778805 337,595955 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-14 9,2985 9,2935 36,53 36,53 339,674205 339,491555 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-15 9,2695 9,2645 36,69 36,69 340,097955 339,914505 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-16 9,2695 9,2645 36,85 36,85 341,581075 341,396825 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-17 9,2695 9,2645 36,95 36,95 342,508025 342,323275 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-20 9,2255 9,2205 36,82 36,82 339,68291 339,49881 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-21 9,2725 9,2675 37,12 37,12 344,1952 344,0096 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-22 9,2615 9,2565 37,04 37,04 343,04596 342,86076 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-27 9,3855 9,3805 37,09 37,09 348,108195 347,922745 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-28 9,3995 9,3945 37,1 37,1 348,72145 348,53595 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-29 9,4215 9,4165 37,21 37,21 350,574015 350,387965 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-06-30 9,4415 9,4365 37,26 37,26 351,79029 351,60399 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-01 9,4595 9,4545 37,49 37,49 354,636655 354,449205 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-04 9,4795 9,4745 37,96 37,96 359,84182 359,65202 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-05 9,4575 9,4525 38,05 38,05 359,857875 359,667625 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-06 9,4195 9,4145 38,13 38,13 359,165535 358,974885 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-07 9,3965 9,3915 37,9 37,9 356,12735 355,93785 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-08 9,4175 9,4125 38,43 38,43 361,914525 361,722375 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-11 9,4665 9,4615 38,4 38,4 363,5136 363,3216 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-12 9,4645 9,4595 38,14 38,14 360,97603 360,78533 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-13 9,3915 9,3865 38,41 38,41 360,727515 360,535465 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-14 9,3675 9,3625 38,82 38,82 363,64635 363,45225 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-15 9,4055 9,4005 38,89 38,89 365,779895 365,585445 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-18 9,3895 9,3845 38,7 38,7 363,37365 363,18015 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-19 9,4425 9,4375 38,95 38,95 367,785375 367,590625 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-20 9,4265 9,4215 39 39 367,6335 367,4385 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-21 9,4625 9,4575 39,04 39,04 369,416 369,2208 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-22 9,4495 9,4445 39,41 39,41 372,404795 372,207745 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-25 9,4275 9,4225 39,44 39,44 371,8206 371,6234 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-26 9,4155 9,4105 39,44 39,44 371,34732 371,15012 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-27 9,4725 9,4675 39,42 39,42 373,40595 373,20885 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-28 9,4515 9,4465 39,81 39,81 376,264215 376,065165 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-07-29 9,3885 9,3835 40,12 40,12 376,66662 376,46602 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-01 9,3985 9,3935 39,69 39,69 373,026465 372,828015 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-02 9,3995 9,3945 39,87 39,87 374,758065 374,558715 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-03 9,3755 9,3705 39,92 39,92 374,26996 374,07036 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-04 9,3735 9,3685 39,92 39,92 374,19012 373,99052 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-05 9,3355 9,3305 39,95 39,95 372,953225 372,753475 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-08 9,3335 9,3285 39,65 39,65 370,073275 369,875025 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-09 9,3455 9,3405 39,81 39,81 372,044355 371,845305 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-10 9,3535 9,3485 39,87 39,87 372,924045 372,724695 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-11 9,3365 9,3315 39,59 39,59 369,632035 369,434085 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-12 9,3025 9,2975 38,92 38,92 362,0533 361,8587 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-16 9,2995 9,2945 39,63 39,63 368,539185 368,341035 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-17 9,3405 9,3355 39,51 39,51 369,043155 368,845605 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-18 9,3365 9,3315 39,63 39,63 370,005495 369,807345 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-19 9,3395 9,3345 39,52 39,52 369,09704 368,89944 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-22 9,3655 9,3605 39,6 39,6 370,8738 370,6758 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-23 9,3715 9,3665 39,66 39,66 371,67369 371,47539 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-24 9,3365 9,3315 39,86 39,86 372,15289 371,95359 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-25 9,3335 9,3285 39,7 39,7 370,53995 370,34145 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-26 9,3415 9,3365 39,66 39,66 370,48389 370,28559 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-29 9,3295 9,3245 39,54 39,54 368,88843 368,69073 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-30 9,3285 9,3235 39,86 39,86 371,83401 371,63471 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-08-31 9,3585 9,3535 40,09 40,09 375,182265 374,981815 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-01 9,3365 9,3315 39,91 39,91 372,619715 372,420165 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-02 9,3025 9,2975 39,79 39,79 370,146475 369,947525 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-05 9,2845 9,2795 39,91 39,91 370,544395 370,344845 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-06 9,3225 9,3175 39,93 39,93 372,247425 372,047775 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-07 9,3075 9,3025 39,83 39,83 370,717725 370,518575 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-08 9,3255 9,3205 40,14 40,14 374,32557 374,12487 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-09 9,3445 9,3395 40,24 40,24 376,02268 375,82148 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-12 9,3015 9,2965 40,77 40,77 379,222155 379,018305 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-13 9,3015 9,2965 40,96 40,96 380,98944 380,78464 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-14 9,3365 9,3315 40,44 40,44 377,56806 377,36586 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-15 9,3425 9,3375 40,83 40,83 381,454275 381,250125 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-16 9,3465 9,3415 41,14 41,14 384,51501 384,30931 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-19 9,3355 9,3305 41,58 41,58 388,17009 387,96219 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-20 9,3395 9,3345 41,77 41,77 390,110915 389,902065 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-21 9,3405 9,3355 41,43 41,43 386,976915 386,769765 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-22 9,3405 9,3355 41,36 41,36 386,32308 386,11628 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-23 9,3695 9,3645 41,46 41,46 388,45947 388,25217 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-26 9,3815 9,3765 41,62 41,62 390,45803 390,24993 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-27 9,3885 9,3835 42,29 42,29 397,039665 396,828215 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-28 9,3935 9,3885 42,21 42,21 396,499635 396,288585 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-29 9,3845 9,3795 42,95 42,95 403,064275 402,849525 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-09-30 9,3435 9,3385 43,09 43,09 402,611415 402,395965 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-03 9,3025 9,2975 43,24 43,24 402,2401 402,0239 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-04 9,3185 9,3135 44,09 44,09 410,852665 410,632215 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-05 9,3105 9,3055 43,93 43,93 409,010265 408,790615 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-06 9,3015 9,2965 42,94 42,94 399,40641 399,19171 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-07 9,3385 9,3335 42,4 42,4 395,9524 395,7404 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-10 9,3465 9,3415 42,58 42,58 397,97397 397,76107 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-11 9,3395 9,3345 43,19 43,19 403,373005 403,157055 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-12 9,3375 9,3325 42,9 42,9 400,57875 400,36425 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-13 9,3815 9,3765 41,96 41,96 393,64774 393,43794 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-14 9,4135 9,4085 41,85 41,85 393,954975 393,745725 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-17 9,4575 9,4525 41,68 41,68 394,1886 393,9802 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-18 9,4625 9,4575 42,26 42,26 399,88525 399,67395 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-19 9,4605 9,4555 41,39 41,39 391,570095 391,363145 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-20 9,4935 9,4885 41,4 41,4 393,0309 392,8239 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-21 9,4915 9,4865 41,17 41,17 390,765055 390,559205 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-24 9,5455 9,5405 41,18 41,18 393,08369 392,87779 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-25 9,5465 9,5415 41,14 41,14 392,74301 392,53731 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-26 9,4975 9,4925 41,2 41,2 391,297 391,091 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-27 9,5355 9,5305 41,17 41,17 392,576535 392,370685 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-28 9,5135 9,5085 41,18 41,18 391,76593 391,56003 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-10-31 9,5495 9,5445 41,83 41,83 399,455585 399,246435 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-02 9,5855 9,5805 42,45 42,45 406,904475 406,692225 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-03 9,6515 9,6465 42,94 42,94 414,43541 414,22071 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-04 9,5875 9,5825 43,3 43,3 415,13875 414,92225 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-07 9,6075 9,6025 43,5 43,5 417,92625 417,70875 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-08 9,5685 9,5635 43,66 43,66 417,76071 417,54241 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-09 9,5575 9,5525 44,21 44,21 422,537075 422,316025 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-10 9,6105 9,6055 44,32 44,32 425,93736 425,71576 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-11 9,6365 9,6315 44,04 44,04 424,39146 424,17126 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-14 9,5505 9,5455 44,25 44,25 422,609625 422,388375 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-15 9,5805 9,5755 44,17 44,17 423,170685 422,949835 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-16 9,6235 9,6185 44,41 44,41 427,379635 427,157585 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-17 9,6355 9,6305 44,4 44,4 427,8162 427,5942 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-18 9,6085 9,6035 44,4 44,4 426,6174 426,3954 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-21 9,5915 9,5865 44,1 44,1 422,98515 422,76465 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-22 9,5585 9,5535 44,28 44,28 423,25038 423,02898 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-23 9,5155 9,5105 44,33 44,33 421,822115 421,600465 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-24 9,5125 9,5075 44,64 44,64 424,638 424,4148 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-25 9,4965 9,4915 44,76 44,76 425,06334 424,83954 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-28 9,4835 9,4785 45,07 45,07 427,421345 427,195995 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-29 9,4785 9,4735 44,9 44,9 425,58465 425,36015 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-11-30 9,5295 9,5245 45,41 45,41 432,734595 432,507545 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-01 9,5165 9,5115 45,82 45,82 436,04603 435,81693 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-02 9,4905 9,4855 46,38 46,38 440,16939 439,93749 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-05 9,4065 9,4015 46,46 46,46 437,02599 436,79369 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-06 9,4185 9,4135 46,37 46,37 436,735845 436,503995 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-07 9,4255 9,4205 46,5 46,5 438,28575 438,05325 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-08 9,3965 9,3915 46,37 46,37 435,715705 435,483855 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-12 9,4315 9,4265 45,19 45,19 426,209485 425,983535 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-13 9,4295 9,4245 45,1 45,1 425,27045 425,04495 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-14 9,4365 9,4315 44,92 44,92 423,88758 423,66298 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-15 9,4345 9,4295 45,55 45,55 429,741475 429,513725 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-16 9,4765 9,4715 45,61 45,61 432,223165 431,995115 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-19 9,4535 9,4485 45,94 45,94 434,29379 434,06409 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-20 9,4015 9,3965 46,11 46,11 433,503165 433,272615 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-21 9,4485 9,4435 46,75 46,75 441,717375 441,483625 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-22 9,4365 9,4315 46,86 46,86 442,19439 441,96009 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-23 9,4425 9,4375 46,96 46,96 443,4198 443,185 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-27 9,4915 9,4865 46,87 46,87 444,866605 444,632255 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-28 9,4345 9,4295 46,92 46,92 442,66674 442,43214 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-29 9,4115 9,4065 47,46 47,46 446,66979 446,43249 353821 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Europe Middle East North Africa EUR 2005-12-30 9,4325 9,4275 47,54 47,54 448,42105 448,18335 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-03 6,668 6,658 39,21 39,21 261,45228 261,06018 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-04 6,728 6,718 39,19 39,19 263,67032 263,27842 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-05 6,828 6,818 39,04 39,04 266,56512 266,17472 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-07 6,87 6,86 38,57 38,57 264,9759 264,5902 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-10 6,96091 6,95091 38,74 38,74 269,6656534 269,2782534 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-11 6,96091 6,95091 38,7 38,7 269,387217 269,000217 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-12 6,913 6,903 38,76 38,76 267,94788 267,56028 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-13 6,843 6,833 38,93 38,93 266,39799 266,00869 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-14 6,915 6,905 39,07 39,07 270,16905 269,77835 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-17 6,915 6,905 38,96 38,96 269,4084 269,0188 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-18 6,968 6,958 38,94 38,94 271,33392 270,94452 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-19 6,91 6,9 38,86 38,86 268,5226 268,134 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-20 6,96 6,95 38,85 38,85 270,396 270,0075 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-21 6,978 6,968 38,92 38,92 271,58376 271,19456 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-24 6,933 6,923 39,08 39,08 270,94164 270,55084 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-25 6,95 6,94 39,09 39,09 271,6755 271,2846 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-26 6,995 6,985 39,18 39,18 274,0641 273,6723 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-27 6,93 6,92 39,22 39,22 271,7946 271,4024 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-28 6,985 6,975 39,18 39,18 273,6723 273,2805 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-01-31 6,998 6,988 39,26 39,26 274,74148 274,34888 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-01 6,993 6,983 39,31 39,31 274,89483 274,50173 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-02 6,953 6,943 39,37 39,37 273,73961 273,34591 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-03 6,968 6,958 39,4 39,4 274,5392 274,1452 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-04 7,01 7 39,47 39,47 276,6847 276,29 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-07 7,065 7,055 39,69 39,69 280,40985 280,01295 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-08 7,123 7,113 39,92 39,92 284,35016 283,95096 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-09 7,1 7,09 39,96 39,96 283,716 283,3164 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-10 7,088 7,078 39,94 39,94 283,09472 282,69532 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging 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277,93374 277,53544 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-22 6,905 6,895 39,78 39,78 274,6809 274,2831 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-23 6,895 6,885 39,71 39,71 273,80045 273,40335 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-24 6,858 6,848 39,74 39,74 272,53692 272,13952 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-25 6,885 6,875 39,86 39,86 274,4361 274,0375 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-02-28 6,828 6,818 39,87 39,87 272,23236 271,83366 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-03-01 6,87 6,86 39,83 39,83 273,6321 273,2338 103010 Morgan Stanley Investment 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273,5383 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-04-19 7,068 7,058 38,74 38,74 273,81432 273,42692 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-04-20 7,043 7,033 38,99 38,99 274,60657 274,21667 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-04-21 7,025 7,015 39,05 39,05 274,32625 273,93575 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-04-22 7,023 7,013 39,2 39,2 275,3016 274,9096 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-04-25 7,04 7,03 39,23 39,23 276,1792 275,7869 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-04-26 7,035 7,025 39,25 39,25 276,12375 275,73125 103010 Morgan Stanley Investment Management 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SICAV Emerging Markets Debt Fund USD 2005-05-26 7,33 7,32 40,22 40,22 294,8126 294,4104 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-05-27 7,338 7,328 40,26 40,26 295,42788 295,02528 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-05-30 7,338 7,328 40,35 40,35 296,0883 295,6848 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-05-31 7,403 7,393 40,33 40,33 298,56299 298,15969 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-01 7,428 7,418 40,53 40,53 301,05684 300,65154 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-02 7,473 7,463 40,68 40,68 304,00164 303,59484 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-03 7,438 7,428 40,94 40,94 304,51172 304,10232 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-07 7,448 7,438 40,68 40,68 302,98464 302,57784 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-08 7,435 7,425 40,71 40,71 302,67885 302,27175 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-09 7,523 7,513 40,6 40,6 305,4338 305,0278 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-10 7,525 7,515 40,53 40,53 304,98825 304,58295 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-13 7,643 7,633 40,54 40,54 309,84722 309,44182 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-14 7,663 7,653 40,53 40,53 310,58139 310,17609 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-15 7,693 7,683 40,56 40,56 312,02808 311,62248 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-16 7,678 7,668 40,51 40,51 311,03578 310,63068 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-17 7,643 7,633 40,62 40,62 310,45866 310,05246 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-20 7,543 7,533 40,73 40,73 307,22639 306,81909 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-21 7,648 7,638 40,71 40,71 311,35008 310,94298 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-22 7,608 7,598 40,78 40,78 310,25424 309,84644 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-27 7,73 7,72 40,95 40,95 316,5435 316,134 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-28 7,76 7,75 40,99 40,99 318,0824 317,6725 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-29 7,833 7,823 41 41 321,153 320,743 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-06-30 7,823 7,813 41,06 41,06 321,21238 320,80178 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-01 7,858 7,848 41,2 41,2 323,7496 323,3376 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-04 7,945 7,935 41,21 41,21 327,41345 327,00135 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-05 7,963 7,953 41,21 41,21 328,15523 327,74313 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-06 7,895 7,885 40,97 40,97 323,45815 323,04845 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-07 7,878 7,868 40,96 40,96 322,68288 322,27328 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-08 7,913 7,903 40,98 40,98 324,27474 323,86494 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-11 7,89 7,88 41,05 41,05 323,8845 323,474 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-12 7,77 7,76 41,01 41,01 318,6477 318,2376 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-13 7,703 7,693 41,13 41,13 316,82439 316,41309 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-14 7,76 7,75 41,1 41,1 318,936 318,525 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-15 7,76 7,75 41,11 41,11 319,0136 318,6025 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-18 7,78 7,77 41,17 41,17 320,3026 319,8909 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-19 7,878 7,868 41,14 41,14 324,10092 323,68952 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-20 7,818 7,808 41,06 41,06 321,00708 320,59648 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-07-21 7,775 7,765 41,12 41,12 319,708 319,2968 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV 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41,28 318,6816 318,2688 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-02 7,7 7,69 41,21 41,21 317,317 316,9049 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-03 7,685 7,675 41,33 41,33 317,62105 317,20775 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-04 7,618 7,608 41,46 41,46 315,84228 315,42768 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-05 7,548 7,538 41,5 41,5 313,242 312,827 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-08 7,558 7,548 41,44 41,44 313,20352 312,78912 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-09 7,548 7,538 41,23 41,23 311,20404 310,79174 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-10 7,558 7,548 41,29 41,29 312,06982 311,65692 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-11 7,523 7,513 41,39 41,39 311,37697 310,96307 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-12 7,46 7,45 41,31 41,31 308,1726 307,7595 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-16 7,523 7,513 41,46 41,46 311,90358 311,48898 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-17 7,605 7,595 41,53 41,53 315,83565 315,42035 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-18 7,61 7,6 41,5 41,5 315,815 315,4 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt 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314,96107 314,54517 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-30 7,633 7,623 41,56 41,56 317,22748 316,81188 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-08-31 7,668 7,658 41,69 41,69 319,67892 319,26202 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-01 7,568 7,558 41,9 41,9 317,0992 316,6802 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-02 7,435 7,425 42,06 42,06 312,7161 312,2955 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-05 7,41 7,4 42,18 42,18 312,5538 312,132 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-06 7,485 7,475 42,18 42,18 315,7173 315,2955 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-07 7,43 7,42 42,15 42,15 313,1745 312,753 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-08 7,498 7,488 42,08 42,08 315,51584 315,09504 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-09 7,523 7,513 42,23 42,23 317,69629 317,27399 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-12 7,555 7,545 42,33 42,33 319,80315 319,37985 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-13 7,57 7,56 42,26 42,26 319,9082 319,4856 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-14 7,61 7,6 42,3 42,3 321,903 321,48 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt 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328,69088 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-26 7,798 7,788 42,5 42,5 331,415 330,99 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-27 7,825 7,815 42,51 42,51 332,64075 332,21565 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-28 7,81 7,8 42,5 42,5 331,925 331,5 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-29 7,785 7,775 42,59 42,59 331,56315 331,13725 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-09-30 7,785 7,775 42,73 42,73 332,65305 332,22575 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-03 7,783 7,773 42,74 42,74 332,64542 332,21802 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-04 7,82 7,81 42,69 42,69 333,8358 333,4089 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-05 7,795 7,785 42,53 42,53 331,52135 331,09605 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-06 7,713 7,703 42,4 42,4 327,0312 326,6072 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-07 7,683 7,673 42 42 322,686 322,266 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-10 7,698 7,688 42,16 42,16 324,54768 324,12608 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-11 7,77 7,76 42,18 42,18 327,7386 327,3168 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-12 7,805 7,795 42,19 42,19 329,29295 328,87105 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-13 7,83 7,82 41,77 41,77 327,0591 326,6414 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-14 7,833 7,823 41,29 41,29 323,42457 323,01167 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-17 7,835 7,825 41,32 41,32 323,7422 323,329 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-18 7,893 7,883 41,58 41,58 328,19094 327,77514 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-19 7,96 7,95 41,77 41,77 332,4892 332,0715 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-20 7,93 7,92 41,71 41,71 330,7603 330,3432 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-21 7,883 7,873 41,73 41,73 328,95759 328,54029 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-24 7,995 7,985 41,72 41,72 333,5514 333,1342 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-25 7,99 7,98 41,79 41,79 333,9021 333,4842 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-26 7,868 7,858 41,94 41,94 329,98392 329,56452 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-27 7,868 7,858 41,82 41,82 329,03976 328,62156 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-28 7,825 7,815 41,76 41,76 326,772 326,3544 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-10-31 7,905 7,895 41,89 41,89 331,14045 330,72155 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-02 7,98 7,97 42,15 42,15 336,357 335,9355 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-03 8,01 8 42,11 42,11 337,3011 336,88 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-04 8,028 8,018 42,04 42,04 337,49712 337,07672 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-07 8,135 8,125 41,91 41,91 340,93785 340,51875 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-08 8,17 8,16 42 42 343,14 342,72 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-09 8,12 8,11 42,15 42,15 342,258 341,8365 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-10 8,173 8,163 42,13 42,13 344,32849 343,90719 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-11 8,235 8,225 42,15 42,15 347,10525 346,68375 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-14 8,133 8,123 42,19 42,19 343,13127 342,70937 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-15 8,185 8,175 42,17 42,17 345,16145 344,73975 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-16 8,21 8,2 42,28 42,28 347,1188 346,696 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-17 8,258 8,248 42,49 42,49 350,88242 350,45752 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-18 8,223 8,213 42,64 42,64 350,62872 350,20232 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-21 8,123 8,113 42,56 42,56 345,71488 345,28928 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-22 8,15 8,14 42,64 42,64 347,516 347,0896 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-23 8,048 8,038 42,72 42,72 343,81056 343,38336 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-24 8,053 8,043 42,86 42,86 345,15158 344,72298 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-25 8,078 8,068 42,86 42,86 346,22308 345,79448 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-28 8,118 8,108 42,97 42,97 348,83046 348,40076 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-29 8,015 8,005 42,97 42,97 344,40455 343,97485 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-11-30 8,088 8,078 42,81 42,81 346,24728 345,81918 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-01 8,083 8,073 42,7 42,7 345,1441 344,7171 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-02 8,103 8,093 42,75 42,75 346,40325 345,97575 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-05 8,045 8,035 42,84 42,84 344,6478 344,2194 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-06 7,993 7,983 42,73 42,73 341,54089 341,11359 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-07 8,015 8,005 42,87 42,87 343,60305 343,17435 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-08 7,988 7,978 42,83 42,83 342,12604 341,69774 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-12 7,953 7,943 42,74 42,74 339,91122 339,48382 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-13 7,905 7,895 42,72 42,72 337,7016 337,2744 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-14 7,848 7,838 42,78 42,78 335,73744 335,30964 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-15 7,858 7,848 42,99 42,99 337,81542 337,38552 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-16 7,903 7,893 42,91 42,91 339,11773 338,68863 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-19 7,865 7,855 42,89 42,89 337,32985 336,90095 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-20 7,848 7,838 42,71 42,71 335,18808 334,76098 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-21 7,948 7,938 42,95 42,95 341,3666 340,9371 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-22 7,98 7,97 42,95 42,95 342,741 342,3115 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-23 7,955 7,945 43,09 43,09 342,78095 342,35005 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-27 8,01 8 43,11 43,11 345,3111 344,88 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-28 7,915 7,905 43,18 43,18 341,7697 341,3379 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-29 7,938 7,928 43,28 43,28 343,55664 343,12384 103010 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Debt Fund USD 2005-12-30 7,958 7,948 43,28 43,28 344,42224 343,98944 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-03 6,668 6,658 17,59 17,59 117,29012 117,11422 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-04 6,728 6,718 17,43 17,43 117,26904 117,09474 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-05 6,828 6,818 17,02 17,02 116,21256 116,04236 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-07 6,87 6,86 16,86 16,86 115,8282 115,6596 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-10 6,96091 6,95091 16,89 16,89 117,5697699 117,4008699 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-11 6,96091 6,95091 16,96 16,96 118,0570336 117,8874336 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-12 6,913 6,903 16,84 16,84 116,41492 116,24652 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-13 6,843 6,833 16,99 16,99 116,26257 116,09267 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-14 6,915 6,905 17,06 17,06 117,9699 117,7993 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-17 6,915 6,905 17,23 17,23 119,14545 118,97315 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-18 6,968 6,958 17,15 17,15 119,5012 119,3297 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-19 6,91 6,9 17,13 17,13 118,3683 118,197 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-20 6,96 6,95 17,08 17,08 118,8768 118,706 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-21 6,978 6,968 16,99 16,99 118,55622 118,38632 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-24 6,933 6,923 17,13 17,13 118,76229 118,59099 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-25 6,95 6,94 17,19 17,19 119,4705 119,2986 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-26 6,995 6,985 17,27 17,27 120,80365 120,63095 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-27 6,93 6,92 17,42 17,42 120,7206 120,5464 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-28 6,985 6,975 17,48 17,48 122,0978 121,923 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-01-31 6,998 6,988 17,62 17,62 123,30476 123,12856 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-01 6,993 6,983 17,64 17,64 123,35652 123,18012 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-02 6,953 6,943 17,78 17,78 123,62434 123,44654 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-03 6,968 6,958 17,89 17,89 124,65752 124,47862 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-04 7,01 7 17,95 17,95 125,8295 125,65 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-07 7,065 7,055 18,1 18,1 127,8765 127,6955 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-08 7,123 7,113 18,04 18,04 128,49892 128,31852 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-09 7,1 7,09 18,06 18,06 128,226 128,0454 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-10 7,088 7,078 18,04 18,04 127,86752 127,68712 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-11 7,068 7,058 18,08 18,08 127,78944 127,60864 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-14 7,03 7,02 18,33 18,33 128,8599 128,6766 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-15 7,005 6,995 18,38 18,38 128,7519 128,5681 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-16 6,973 6,963 18,48 18,48 128,86104 128,67624 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-17 6,97 6,96 18,48 18,48 128,8056 128,6208 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-18 6,965 6,955 18,56 18,56 129,2704 129,0848 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-21 6,978 6,968 18,56 18,56 129,51168 129,32608 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-22 6,905 6,895 18,63 18,63 128,64015 128,45385 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-23 6,895 6,885 18,58 18,58 128,1091 127,9233 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-24 6,858 6,848 18,83 18,83 129,13614 128,94784 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-25 6,885 6,875 18,98 18,98 130,6773 130,4875 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-02-28 6,828 6,818 19,18 19,18 130,96104 130,76924 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-01 6,87 6,86 19,19 19,19 131,8353 131,6434 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-02 6,888 6,878 19,02 19,02 131,00976 130,81956 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-03 6,903 6,893 19,04 19,04 131,43312 131,24272 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-04 6,9 6,89 19,02 19,02 131,238 131,0478 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-07 6,84 6,83 19,26 19,26 131,7384 131,5458 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-08 6,825 6,815 19,23 19,23 131,24475 131,05245 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-09 6,76 6,75 19,27 19,27 130,2652 130,0725 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-10 6,745 6,735 19,13 19,13 129,03185 128,84055 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-11 6,765 6,755 19,02 19,02 128,6703 128,4801 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-14 6,76 6,75 18,89 18,89 127,6964 127,5075 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-15 6,815 6,805 18,59 18,59 126,69085 126,50495 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-16 6,81 6,8 18,39 18,39 125,2359 125,052 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-17 6,795 6,785 18,28 18,28 124,2126 124,0298 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-18 6,828 6,818 18,34 18,34 125,22552 125,04212 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-21 6,908 6,898 18,2 18,2 125,7256 125,5436 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-22 6,928 6,918 18,06 18,06 125,11968 124,93908 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-23 6,973 6,963 17,81 17,81 124,18913 124,01103 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-24 7,008 6,998 17,6 17,6 123,3408 123,1648 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-29 7,055 7,045 17,47 17,47 123,25085 123,07615 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-30 7,053 7,043 17,37 17,37 122,51061 122,33691 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-03-31 7,065 7,055 17,72 17,72 125,1918 125,0146 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-01 7,07 7,06 17,92 17,92 126,6944 126,5152 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-04 7,113 7,103 17,83 17,83 126,82479 126,64649 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-05 7,163 7,153 17,75 17,75 127,14325 126,96575 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-06 7,125 7,115 17,87 17,87 127,32375 127,14505 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-07 7,083 7,073 17,86 17,86 126,50238 126,32378 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-08 7,153 7,143 17,96 17,96 128,46788 128,28828 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-11 7,098 7,088 17,96 17,96 127,48008 127,30048 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-12 7,048 7,038 17,95 17,95 126,5116 126,3321 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-13 7,075 7,065 17,94 17,94 126,9255 126,7461 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-14 7,12 7,11 17,74 17,74 126,3088 126,1314 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-15 7,17 7,16 17,47 17,47 125,2599 125,0852 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-18 7,08 7,07 17,13 17,13 121,2804 121,1091 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-19 7,068 7,058 17,22 17,22 121,71096 121,53876 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-20 7,043 7,033 17,48 17,48 123,11164 122,93684 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-21 7,025 7,015 17,38 17,38 122,0945 121,9207 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-22 7,023 7,013 17,54 17,54 123,18342 123,00802 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-25 7,04 7,03 17,45 17,45 122,848 122,6735 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-26 7,035 7,025 17,56 17,56 123,5346 123,359 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-27 7,085 7,075 17,5 17,5 123,9875 123,8125 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-28 7,085 7,075 17,38 17,38 123,1373 122,9635 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-04-29 7,08 7,07 17,21 17,21 121,8468 121,6747 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-02 7,15 7,14 17,25 17,25 123,3375 123,165 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-03 7,178 7,168 17,33 17,33 124,39474 124,22144 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-04 7,11 7,1 17,49 17,49 124,3539 124,179 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-06 7,085 7,075 17,83 17,83 126,32555 126,14725 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-09 7,168 7,158 17,85 17,85 127,9488 127,7703 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-10 7,178 7,168 17,83 17,83 127,98374 127,80544 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-11 7,15 7,14 17,67 17,67 126,3405 126,1638 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-12 7,243 7,233 17,67 17,67 127,98381 127,80711 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-13 7,265 7,255 17,49 17,49 127,06485 126,88995 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-17 7,313 7,303 17,38 17,38 127,09994 126,92614 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-18 7,3 7,29 17,44 17,44 127,312 127,1376 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-19 7,26 7,25 17,69 17,69 128,4294 128,2525 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-20 7,28 7,27 17,69 17,69 128,7832 128,6063 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-23 7,32 7,31 17,57 17,57 128,6124 128,4367 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-24 7,295 7,285 17,62 17,62 128,5379 128,3617 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-25 7,298 7,288 17,58 17,58 128,29884 128,12304 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-26 7,33 7,32 17,67 17,67 129,5211 129,3444 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-27 7,338 7,328 17,77 17,77 130,39626 130,21856 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-30 7,338 7,328 17,89 17,89 131,27682 131,09792 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-05-31 7,403 7,393 17,89 17,89 132,43967 132,26077 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-01 7,428 7,418 17,75 17,75 131,847 131,6695 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-02 7,473 7,463 17,87 17,87 133,54251 133,36381 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-03 7,438 7,428 18,05 18,05 134,2559 134,0754 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-07 7,448 7,438 18,05 18,05 134,4364 134,2559 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-08 7,435 7,425 18,03 18,03 134,05305 133,87275 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-09 7,523 7,513 18,01 18,01 135,48923 135,30913 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-10 7,525 7,515 18,01 18,01 135,52525 135,34515 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-13 7,643 7,633 17,99 17,99 137,49757 137,31767 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-14 7,663 7,653 18,03 18,03 138,16389 137,98359 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-15 7,693 7,683 18,16 18,16 139,70488 139,52328 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-16 7,678 7,668 18,24 18,24 140,04672 139,86432 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-17 7,643 7,633 18,36 18,36 140,32548 140,14188 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-20 7,543 7,533 18,45 18,45 139,16835 138,98385 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-21 7,648 7,638 18,4 18,4 140,7232 140,5392 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-22 7,608 7,598 18,49 18,49 140,67192 140,48702 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-27 7,73 7,72 18,27 18,27 141,2271 141,0444 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-28 7,76 7,75 18,31 18,31 142,0856 141,9025 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-29 7,833 7,823 18,33 18,33 143,57889 143,39559 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-06-30 7,823 7,813 18,37 18,37 143,70851 143,52481 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-01 7,858 7,848 18,43 18,43 144,82294 144,63864 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-04 7,945 7,935 18,45 18,45 146,58525 146,40075 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-05 7,963 7,953 18,37 18,37 146,28031 146,09661 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-06 7,895 7,885 18,45 18,45 145,66275 145,47825 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-07 7,878 7,868 18,37 18,37 144,71886 144,53516 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-08 7,913 7,903 18,44 18,44 145,91572 145,73132 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-11 7,89 7,88 18,7 18,7 147,543 147,356 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-12 7,77 7,76 18,88 18,88 146,6976 146,5088 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-13 7,703 7,693 19,01 19,01 146,43403 146,24393 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-14 7,76 7,75 19,12 19,12 148,3712 148,18 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-15 7,76 7,75 19,11 19,11 148,2936 148,1025 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-18 7,78 7,77 19,04 19,04 148,1312 147,9408 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-19 7,878 7,868 19,07 19,07 150,23346 150,04276 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-20 7,818 7,808 19,15 19,15 149,7147 149,5232 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-21 7,775 7,765 19,28 19,28 149,902 149,7092 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-22 7,758 7,748 19,37 19,37 150,27246 150,07876 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-25 7,838 7,828 19,34 19,34 151,58692 151,39352 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-26 7,818 7,808 19,14 19,14 149,63652 149,44512 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-27 7,905 7,895 19,18 19,18 151,6179 151,4261 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-28 7,848 7,838 19,39 19,39 152,17272 151,97882 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-07-29 7,748 7,738 19,49 19,49 151,00852 150,81362 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-01 7,72 7,71 19,62 19,62 151,4664 151,2702 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-02 7,7 7,69 19,82 19,82 152,614 152,4158 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-03 7,685 7,675 20,04 20,04 154,0074 153,807 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-04 7,618 7,608 20,08 20,08 152,96944 152,76864 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-05 7,548 7,538 20 20 150,96 150,76 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-08 7,558 7,548 19,96 19,96 150,85768 150,65808 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-09 7,548 7,538 20,04 20,04 151,26192 151,06152 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-10 7,558 7,548 20,23 20,23 152,89834 152,69604 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-11 7,523 7,513 20,28 20,28 152,56644 152,36364 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-12 7,46 7,45 20,12 20,12 150,0952 149,894 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-16 7,523 7,513 20,09 20,09 151,13707 150,93617 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-17 7,605 7,595 19,89 19,89 151,26345 151,06455 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-18 7,61 7,6 19,79 19,79 150,6019 150,404 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-19 7,698 7,688 19,74 19,74 151,95852 151,76112 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-22 7,69 7,68 19,86 19,86 152,7234 152,5248 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-23 7,663 7,653 19,93 19,93 152,72359 152,52429 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-24 7,673 7,663 19,75 19,75 151,54175 151,34425 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-25 7,588 7,578 19,72 19,72 149,63536 149,43816 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-26 7,578 7,568 19,85 19,85 150,4233 150,2248 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-29 7,573 7,563 19,6 19,6 148,4308 148,2348 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-30 7,633 7,623 19,64 19,64 149,91212 149,71572 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-08-31 7,668 7,658 19,65 19,65 150,6762 150,4797 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-01 7,568 7,558 20,05 20,05 151,7384 151,5379 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-02 7,435 7,425 20,25 20,25 150,55875 150,35625 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-05 7,41 7,4 20,41 20,41 151,2381 151,034 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-06 7,485 7,475 20,4 20,4 152,694 152,49 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-07 7,43 7,42 20,53 20,53 152,5379 152,3326 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-08 7,498 7,488 20,57 20,57 154,23386 154,02816 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-09 7,523 7,513 20,6 20,6 154,9738 154,7678 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-12 7,555 7,545 20,76 20,76 156,8418 156,6342 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-13 7,57 7,56 20,76 20,76 157,1532 156,9456 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-14 7,61 7,6 20,66 20,66 157,2226 157,016 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-15 7,658 7,648 20,76 20,76 158,98008 158,77248 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-16 7,613 7,603 20,99 20,99 159,79687 159,58697 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-19 7,698 7,688 21,09 21,09 162,35082 162,13992 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-20 7,688 7,678 21,35 21,35 164,1388 163,9253 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-21 7,663 7,653 21,27 21,27 162,99201 162,77931 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-22 7,648 7,638 21,33 21,33 163,13184 162,91854 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-23 7,733 7,723 21,09 21,09 163,08897 162,87807 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-26 7,798 7,788 21,18 21,18 165,16164 164,94984 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-27 7,825 7,815 21,31 21,31 166,75075 166,53765 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-28 7,81 7,8 21,35 21,35 166,7435 166,53 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-29 7,785 7,775 21,57 21,57 167,92245 167,70675 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-09-30 7,785 7,775 21,64 21,64 168,4674 168,251 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-03 7,783 7,773 21,62 21,62 168,26846 168,05226 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-04 7,82 7,81 21,85 21,85 170,867 170,6485 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-05 7,795 7,785 21,61 21,61 168,44995 168,23385 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-06 7,713 7,703 21,07 21,07 162,51291 162,30221 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-07 7,683 7,673 20,75 20,75 159,42225 159,21475 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-10 7,698 7,688 20,96 20,96 161,35008 161,14048 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-11 7,77 7,76 21,04 21,04 163,4808 163,2704 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-12 7,805 7,795 20,94 20,94 163,4367 163,2273 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-13 7,83 7,82 20,46 20,46 160,2018 159,9972 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-14 7,833 7,823 20,22 20,22 158,38326 158,18106 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-17 7,835 7,825 20,2 20,2 158,267 158,065 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-18 7,893 7,883 20,39 20,39 160,93827 160,73437 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-19 7,96 7,95 19,84 19,84 157,9264 157,728 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-20 7,93 7,92 19,95 19,95 158,2035 158,004 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-21 7,883 7,873 19,85 19,85 156,47755 156,27905 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-24 7,995 7,985 19,99 19,99 159,82005 159,62015 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-25 7,99 7,98 20,16 20,16 161,0784 160,8768 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-26 7,868 7,858 20,16 20,16 158,61888 158,41728 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-27 7,868 7,858 20,06 20,06 157,83208 157,63148 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-28 7,825 7,815 19,92 19,92 155,874 155,6748 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-10-31 7,905 7,895 20,35 20,35 160,86675 160,66325 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-02 7,98 7,97 20,85 20,85 166,383 166,1745 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-03 8,01 8 21,13 21,13 169,2513 169,04 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-04 8,028 8,018 21,08 21,08 169,23024 169,01944 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-07 8,135 8,125 21 21 170,835 170,625 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-08 8,17 8,16 20,99 20,99 171,4883 171,2784 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-09 8,12 8,11 21,13 21,13 171,5756 171,3643 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-10 8,173 8,163 21,2 21,2 173,2676 173,0556 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-11 8,235 8,225 21,41 21,41 176,31135 176,09725 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-14 8,133 8,123 21,36 21,36 173,72088 173,50728 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-15 8,185 8,175 21,37 21,37 174,91345 174,69975 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-16 8,21 8,2 21,4 21,4 175,694 175,48 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-17 8,258 8,248 21,63 21,63 178,62054 178,40424 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-18 8,223 8,213 21,69 21,69 178,35687 178,13997 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-21 8,123 8,113 21,76 21,76 176,75648 176,53888 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-22 8,15 8,14 21,55 21,55 175,6325 175,417 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-23 8,048 8,038 21,94 21,94 176,57312 176,35372 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-24 8,053 8,043 21,98 21,98 177,00494 176,78514 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-25 8,078 8,068 22,04 22,04 178,03912 177,81872 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-28 8,118 8,108 22,14 22,14 179,73252 179,51112 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-29 8,015 8,005 22,06 22,06 176,8109 176,5903 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-11-30 8,088 8,078 22,04 22,04 178,25952 178,03912 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-01 8,083 8,073 22,28 22,28 180,08924 179,86644 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-02 8,103 8,093 22,46 22,46 181,99338 181,76878 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-05 8,045 8,035 22,58 22,58 181,6561 181,4303 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-06 7,993 7,983 22,68 22,68 181,28124 181,05444 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-07 8,015 8,005 22,8 22,8 182,742 182,514 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-08 7,988 7,978 22,63 22,63 180,76844 180,54214 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-12 7,953 7,943 22,71 22,71 180,61263 180,38553 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-13 7,905 7,895 22,71 22,71 179,52255 179,29545 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-14 7,848 7,838 22,8 22,8 178,9344 178,7064 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-15 7,858 7,848 22,77 22,77 178,92666 178,69896 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-16 7,903 7,893 22,69 22,69 179,31907 179,09217 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-19 7,865 7,855 22,77 22,77 179,08605 178,85835 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-20 7,848 7,838 22,73 22,73 178,38504 178,15774 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-21 7,948 7,938 22,88 22,88 181,85024 181,62144 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-22 7,98 7,97 22,93 22,93 182,9814 182,7521 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-23 7,955 7,945 22,98 22,98 182,8059 182,5761 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-27 8,01 8 23,09 23,09 184,9509 184,72 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-28 7,915 7,905 22,97 22,97 181,80755 181,57785 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-29 7,938 7,928 23,1 23,1 183,3678 183,1368 317990 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Emerging Markets Equity Fund USD 2005-12-30 7,958 7,948 23,09 23,09 183,75022 183,51932 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-03 9,0065 9,0015 26,1 26,1 235,06965 234,93915 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-04 9,0345 9,0295 26,1 26,1 235,80045 235,66995 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-05 9,0615 9,0565 26,07 26,07 236,233305 236,102955 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-07 9,0615 9,0565 26,17 26,17 237,139455 237,008605 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-10 9,08619 9,08119 26,2 26,2 238,058178 237,927178 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-11 9,08619 9,08119 26,21 26,21 238,1490399 238,0179899 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-12 9,0455 9,0405 26,17 26,17 236,720735 236,589885 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-13 9,0505 9,0455 26,17 26,17 236,851585 236,720735 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-14 9,0455 9,0405 26,26 26,26 237,53483 237,40353 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-17 9,0685 9,0635 26,28 26,28 238,32018 238,18878 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-18 9,0585 9,0535 26,26 26,26 237,87621 237,74491 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-19 9,0225 9,0175 26,34 26,34 237,65265 237,52095 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-20 9,0315 9,0265 26,24 26,24 236,98656 236,85536 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-21 9,0505 9,0455 26,24 26,24 237,48512 237,35392 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-24 9,0655 9,0605 26,29 26,29 238,331995 238,200545 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-25 9,0715 9,0665 26,32 26,32 238,76188 238,63028 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-26 9,0885 9,0835 26,27 26,27 238,754895 238,623545 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-27 9,0675 9,0625 26,25 26,25 238,021875 237,890625 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-28 9,0955 9,0905 26,29 26,29 239,120695 238,989245 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-01-31 9,1075 9,1025 26,31 26,31 239,618325 239,486775 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-01 9,1035 9,0985 26,33 26,33 239,695155 239,563505 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-02 9,0905 9,0855 26,34 26,34 239,44377 239,31207 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-03 9,0695 9,0645 26,31 26,31 238,618545 238,486995 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-04 9,0895 9,0845 26,32 26,32 239,23564 239,10404 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-07 9,0755 9,0705 26,41 26,41 239,683955 239,551905 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-08 9,0895 9,0845 26,41 26,41 240,053695 239,921645 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-09 9,0695 9,0645 26,49 26,49 240,251055 240,118605 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-10 9,0805 9,0755 26,49 26,49 240,542445 240,409995 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-11 9,0935 9,0885 26,46 26,46 240,61401 240,48171 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-14 9,1105 9,1055 26,42 26,42 240,69941 240,56731 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-15 9,0765 9,0715 26,39 26,39 239,528835 239,396885 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-16 9,0705 9,0655 26,4 26,4 239,4612 239,3292 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-17 9,0925 9,0875 26,32 26,32 239,3146 239,183 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-18 9,0945 9,0895 26,27 26,27 238,912515 238,781165 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-21 9,1185 9,1135 26,2 26,2 238,9047 238,7737 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-22 9,0975 9,0925 26,19 26,19 238,263525 238,132575 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-23 9,1045 9,0995 26,17 26,17 238,264765 238,133915 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-24 9,0715 9,0665 26,16 26,16 237,31044 237,17964 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-25 9,0845 9,0795 26,16 26,16 237,65052 237,51972 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-02-28 9,0505 9,0455 26,2 26,2 237,1231 236,9921 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-01 9,0565 9,0515 26,14 26,14 236,73691 236,60621 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-02 9,0645 9,0595 26,13 26,13 236,855385 236,724735 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-03 9,0675 9,0625 26,09 26,09 236,571075 236,440625 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-04 9,0415 9,0365 26,12 26,12 236,16398 236,03338 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-07 9,0425 9,0375 26,22 26,22 237,09435 236,96325 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-08 9,0345 9,0295 26,23 26,23 236,974935 236,843785 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-09 9,0365 9,0315 26,13 26,13 236,123745 235,993095 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-10 9,0655 9,0605 26,08 26,08 236,42824 236,29784 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-11 9,0795 9,0745 26,11 26,11 237,065745 236,935195 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-14 9,0695 9,0645 26,07 26,07 236,441865 236,311515 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-15 9,1035 9,0985 26,14 26,14 237,96549 237,83479 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-16 9,0975 9,0925 26,1 26,1 237,44475 237,31425 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-17 9,1045 9,0995 26,15 26,15 238,082675 237,951925 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-18 9,1035 9,0985 26,12 26,12 237,78342 237,65282 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-21 9,1265 9,1215 26,11 26,11 238,292915 238,162365 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-22 9,1265 9,1215 26,13 26,13 238,475445 238,344795 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-23 9,1165 9,1115 26,09 26,09 237,849485 237,719035 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-24 9,1135 9,1085 26,11 26,11 237,953485 237,822935 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-29 9,1315 9,1265 26,11 26,11 238,423465 238,292915 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-30 9,1425 9,1375 26,16 26,16 239,1678 239,037 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-03-31 9,1405 9,1355 26,19 26,19 239,389695 239,258745 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-01 9,1645 9,1595 26,23 26,23 240,384835 240,253685 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-04 9,1695 9,1645 26,25 26,25 240,699375 240,568125 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-05 9,1745 9,1695 26,24 26,24 240,73888 240,60768 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-06 9,1705 9,1655 26,24 26,24 240,63392 240,50272 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-07 9,1505 9,1455 26,25 26,25 240,200625 240,069375 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-08 9,1625 9,1575 26,28 26,28 240,7905 240,6591 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-11 9,1705 9,1655 26,28 26,28 241,00074 240,86934 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-12 9,1525 9,1475 26,3 26,3 240,71075 240,57925 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-13 9,1495 9,1445 26,32 26,32 240,81484 240,68324 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-14 9,1685 9,1635 26,32 26,32 241,31492 241,18332 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-15 9,1925 9,1875 26,34 26,34 242,13045 241,99875 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-18 9,1805 9,1755 26,38 26,38 242,18159 242,04969 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-19 9,2035 9,1985 26,36 26,36 242,60426 242,47246 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-20 9,1915 9,1865 26,39 26,39 242,563685 242,431735 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-21 9,1855 9,1805 26,39 26,39 242,405345 242,273395 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-22 9,1625 9,1575 26,4 26,4 241,89 241,758 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-25 9,1685 9,1635 26,44 26,44 242,41514 242,28294 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-26 9,1375 9,1325 26,47 26,47 241,869625 241,737275 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-27 9,1465 9,1415 26,44 26,44 241,83346 241,70126 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-28 9,1505 9,1455 26,5 26,5 242,48825 242,35575 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-04-29 9,1705 9,1655 26,49 26,49 242,926545 242,794095 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-02 9,1935 9,1885 26,51 26,51 243,719685 243,587135 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-03 9,2245 9,2195 26,53 26,53 244,725985 244,593335 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-04 9,1915 9,1865 26,53 26,53 243,850495 243,717845 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-06 9,1715 9,1665 26,52 26,52 243,22818 243,09558 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-09 9,1815 9,1765 26,47 26,47 243,034305 242,901955 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-10 9,1985 9,1935 26,52 26,52 243,94422 243,81162 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-11 9,2105 9,2055 26,58 26,58 244,81509 244,68219 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-12 9,2315 9,2265 26,59 26,59 245,465585 245,332635 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-13 9,2045 9,1995 26,59 26,59 244,747655 244,614705 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-17 9,2325 9,2275 26,58 26,58 245,39985 245,26695 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-18 9,2095 9,2045 26,6 26,6 244,9727 244,8397 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-19 9,1905 9,1855 26,62 26,62 244,65111 244,51801 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-20 9,1955 9,1905 26,59 26,59 244,508345 244,375395 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-23 9,1805 9,1755 26,58 26,58 244,01769 243,88479 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-24 9,1815 9,1765 26,71 26,71 245,237865 245,104315 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-25 9,1785 9,1735 26,71 26,71 245,157735 245,024185 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-26 9,1945 9,1895 26,68 26,68 245,30926 245,17586 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-27 9,1955 9,1905 26,67 26,67 245,243985 245,110635 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-30 9,1905 9,1855 26,65 26,65 244,926825 244,793575 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-05-31 9,1665 9,1615 26,7 26,7 244,74555 244,61205 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-01 9,1455 9,1405 26,76 26,76 244,73358 244,59978 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-02 9,1565 9,1515 26,84 26,84 245,76046 245,62626 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-03 9,1315 9,1265 26,87 26,87 245,363405 245,229055 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-07 9,1455 9,1405 26,94 26,94 246,37977 246,24507 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-08 9,1455 9,1405 27,02 27,02 247,11141 246,97631 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-09 9,1965 9,1915 26,98 26,98 248,12157 247,98667 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-10 9,1975 9,1925 27 27 248,3325 248,1975 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-13 9,2365 9,2315 26,95 26,95 248,923675 248,788925 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-14 9,2985 9,2935 26,92 26,92 250,31562 250,18102 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-15 9,2695 9,2645 26,86 26,86 248,97877 248,84447 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-16 9,2695 9,2645 26,73 26,73 247,773735 247,640085 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-17 9,2695 9,2645 26,77 26,77 248,144515 248,010665 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-20 9,2255 9,2205 26,78 26,78 247,05889 246,92499 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-21 9,2725 9,2675 26,89 26,89 249,337525 249,203075 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-22 9,2615 9,2565 27,03 27,03 250,338345 250,203195 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-27 9,3855 9,3805 27,06 27,06 253,97163 253,83633 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-28 9,3995 9,3945 27,01 27,01 253,880495 253,745445 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-29 9,4215 9,4165 26,96 26,96 254,00364 253,86884 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-06-30 9,4415 9,4365 27,02 27,02 255,10933 254,97423 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-01 9,4595 9,4545 27,01 27,01 255,501095 255,366045 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-04 9,4795 9,4745 26,97 26,97 255,662115 255,527265 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-05 9,4575 9,4525 26,91 26,91 254,501325 254,366775 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-06 9,4195 9,4145 26,92 26,92 253,57294 253,43834 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-07 9,3965 9,3915 27,04 27,04 254,08136 253,94616 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-08 9,4175 9,4125 26,95 26,95 253,801625 253,666875 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-11 9,4665 9,4615 26,95 26,95 255,122175 254,987425 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-12 9,4645 9,4595 26,88 26,88 254,40576 254,27136 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-13 9,3915 9,3865 26,85 26,85 252,161775 252,027525 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-14 9,3675 9,3625 26,82 26,82 251,23635 251,10225 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-15 9,4055 9,4005 26,82 26,82 252,25551 252,12141 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-18 9,3895 9,3845 26,91 26,91 252,671445 252,536895 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-19 9,4425 9,4375 26,81 26,81 253,153425 253,019375 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-20 9,4265 9,4215 26,8 26,8 252,6302 252,4962 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-21 9,4625 9,4575 26,83 26,83 253,878875 253,744725 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-22 9,4495 9,4445 26,87 26,87 253,908065 253,773715 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-25 9,4275 9,4225 26,91 26,91 253,694025 253,559475 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-26 9,4155 9,4105 26,9 26,9 253,27695 253,14245 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-27 9,4725 9,4675 26,92 26,92 254,9997 254,8651 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-28 9,4515 9,4465 26,88 26,88 254,05632 253,92192 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-07-29 9,3885 9,3835 26,92 26,92 252,73842 252,60382 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-01 9,3985 9,3935 26,82 26,82 252,06777 251,93367 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-02 9,3995 9,3945 26,81 26,81 252,000595 251,866545 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-03 9,3755 9,3705 26,76 26,76 250,88838 250,75458 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-04 9,3735 9,3685 26,76 26,76 250,83486 250,70106 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-05 9,3355 9,3305 26,75 26,75 249,724625 249,590875 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-08 9,3335 9,3285 26,72 26,72 249,39112 249,25752 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-09 9,3455 9,3405 26,71 26,71 249,618305 249,484755 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-10 9,3535 9,3485 26,76 26,76 250,29966 250,16586 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-11 9,3365 9,3315 26,74 26,74 249,65801 249,52431 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-12 9,3025 9,2975 26,81 26,81 249,400025 249,265975 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-16 9,2995 9,2945 26,86 26,86 249,78457 249,65027 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-17 9,3405 9,3355 26,92 26,92 251,44626 251,31166 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-18 9,3365 9,3315 26,97 26,97 251,805405 251,670555 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-19 9,3395 9,3345 26,99 26,99 252,073105 251,938155 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-22 9,3655 9,3605 26,99 26,99 252,774845 252,639895 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-23 9,3715 9,3665 26,96 26,96 252,65564 252,52084 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-24 9,3365 9,3315 27,01 27,01 252,178865 252,043815 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-25 9,3335 9,3285 27,03 27,03 252,284505 252,149355 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-26 9,3415 9,3365 27,03 27,03 252,500745 252,365595 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-29 9,3295 9,3245 27,03 27,03 252,176385 252,041235 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-30 9,3285 9,3235 26,99 26,99 251,776215 251,641265 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-08-31 9,3585 9,3535 27,04 27,04 253,05384 252,91864 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-01 9,3365 9,3315 27,09 27,09 252,925785 252,790335 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-02 9,3025 9,2975 27,16 27,16 252,6559 252,5201 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-05 9,2845 9,2795 27,17 27,17 252,259865 252,124015 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-06 9,3225 9,3175 27,11 27,11 252,732975 252,597425 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-07 9,3075 9,3025 27,14 27,14 252,60555 252,46985 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-08 9,3255 9,3205 27,1 27,1 252,72105 252,58555 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-09 9,3445 9,3395 27,14 27,14 253,60973 253,47403 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-12 9,3015 9,2965 27,15 27,15 252,535725 252,399975 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-13 9,3015 9,2965 27,05 27,05 251,605575 251,470325 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-14 9,3365 9,3315 27,12 27,12 253,20588 253,07028 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-15 9,3425 9,3375 27,1 27,1 253,18175 253,04625 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-16 9,3465 9,3415 27,06 27,06 252,91629 252,78099 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-19 9,3355 9,3305 27,08 27,08 252,80534 252,66994 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-20 9,3395 9,3345 27,11 27,11 253,193845 253,058295 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-21 9,3405 9,3355 27,15 27,15 253,594575 253,458825 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-22 9,3405 9,3355 27,22 27,22 254,24841 254,11231 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-23 9,3695 9,3645 27,16 27,16 254,47562 254,33982 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-26 9,3815 9,3765 27,08 27,08 254,05102 253,91562 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-27 9,3885 9,3835 27,04 27,04 253,86504 253,72984 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-28 9,3935 9,3885 27,01 27,01 253,718435 253,583385 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-29 9,3845 9,3795 27,03 27,03 253,663035 253,527885 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-09-30 9,3435 9,3385 27,02 27,02 252,46137 252,32627 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-03 9,3025 9,2975 26,98 26,98 250,98145 250,84655 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-04 9,3185 9,3135 26,97 26,97 251,319945 251,185095 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-05 9,3105 9,3055 27 27 251,3835 251,2485 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-06 9,3015 9,2965 26,95 26,95 250,675425 250,540675 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-07 9,3385 9,3335 26,94 26,94 251,57919 251,44449 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-10 9,3465 9,3415 26,99 26,99 252,262035 252,127085 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-11 9,3395 9,3345 26,98 26,98 251,97971 251,84481 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-12 9,3375 9,3325 26,92 26,92 251,3655 251,2309 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-13 9,3815 9,3765 26,85 26,85 251,893275 251,759025 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-14 9,4135 9,4085 26,83 26,83 252,564205 252,430055 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-17 9,4575 9,4525 26,8 26,8 253,461 253,327 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-18 9,4625 9,4575 26,81 26,81 253,689625 253,555575 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-19 9,4605 9,4555 26,85 26,85 254,014425 253,880175 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-20 9,4935 9,4885 26,79 26,79 254,330865 254,196915 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-21 9,4915 9,4865 26,83 26,83 254,656945 254,522795 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-24 9,5455 9,5405 26,9 26,9 256,77395 256,63945 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-25 9,5465 9,5415 26,82 26,82 256,03713 255,90303 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-26 9,4975 9,4925 26,69 26,69 253,488275 253,354825 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-27 9,5355 9,5305 26,69 26,69 254,502495 254,369045 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-28 9,5135 9,5085 26,67 26,67 253,725045 253,591695 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-10-31 9,5495 9,5445 26,65 26,65 254,494175 254,360925 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-02 9,5855 9,5805 26,57 26,57 254,686735 254,553885 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-03 9,6515 9,6465 26,59 26,59 256,633385 256,500435 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-04 9,5875 9,5825 26,59 26,59 254,931625 254,798675 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-07 9,6075 9,6025 26,55 26,55 255,079125 254,946375 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-08 9,5685 9,5635 26,58 26,58 254,33073 254,19783 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-09 9,5575 9,5525 26,53 26,53 253,560475 253,427825 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-10 9,6105 9,6055 26,5 26,5 254,67825 254,54575 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-11 9,6365 9,6315 26,53 26,53 255,656345 255,523695 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-14 9,5505 9,5455 26,54 26,54 253,47027 253,33757 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-15 9,5805 9,5755 26,49 26,49 253,787445 253,654995 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-16 9,6235 9,6185 26,61 26,61 256,081335 255,948285 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-17 9,6355 9,6305 26,57 26,57 256,015235 255,882385 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-18 9,6085 9,6035 26,48 26,48 254,43308 254,30068 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-21 9,5915 9,5865 26,48 26,48 253,98292 253,85052 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-22 9,5585 9,5535 26,53 26,53 253,587005 253,454355 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-23 9,5155 9,5105 26,56 26,56 252,73168 252,59888 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-24 9,5125 9,5075 26,66 26,66 253,60325 253,46995 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-25 9,4965 9,4915 26,65 26,65 253,081725 252,948475 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-28 9,4835 9,4785 26,63 26,63 252,545605 252,412455 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-29 9,4785 9,4735 26,64 26,64 252,50724 252,37404 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-11-30 9,5295 9,5245 26,59 26,59 253,389405 253,256455 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-01 9,5165 9,5115 26,68 26,68 253,90022 253,76682 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-02 9,4905 9,4855 26,65 26,65 252,921825 252,788575 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-05 9,4065 9,4015 26,65 26,65 250,683225 250,549975 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-06 9,4185 9,4135 26,67 26,67 251,191395 251,058045 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-07 9,4255 9,4205 26,69 26,69 251,566595 251,433145 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-08 9,3965 9,3915 26,68 26,68 250,69862 250,56522 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-12 9,4315 9,4265 26,63 26,63 251,160845 251,027695 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-13 9,4295 9,4245 26,65 26,65 251,296175 251,162925 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-14 9,4365 9,4315 26,69 26,69 251,860185 251,726735 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-15 9,4345 9,4295 26,7 26,7 251,90115 251,76765 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-16 9,4765 9,4715 26,74 26,74 253,40161 253,26791 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-19 9,4535 9,4485 26,74 26,74 252,78659 252,65289 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-20 9,4015 9,3965 26,72 26,72 251,20808 251,07448 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-21 9,4485 9,4435 26,68 26,68 252,08598 251,95258 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-22 9,4365 9,4315 26,68 26,68 251,76582 251,63242 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-23 9,4425 9,4375 26,7 26,7 252,11475 251,98125 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-27 9,4915 9,4865 26,73 26,73 253,707795 253,574145 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-28 9,4345 9,4295 26,77 26,77 252,561565 252,427715 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-29 9,4115 9,4065 26,76 26,76 251,85174 251,71794 966598 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Euro Strategic Bond Fund EUR 2005-12-30 9,4325 9,4275 26,81 26,81 252,885325 252,751275 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-03 9,0065 9,0015 10,25 10,25 92,316625 92,265375 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-04 9,0345 9,0295 10,24 10,24 92,51328 92,46208 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-05 9,0615 9,0565 10,25 10,25 92,880375 92,829125 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-07 9,0615 9,0565 10,22 10,22 92,60853 92,55743 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-10 9,08619 9,08119 10,25 10,25 93,1334475 93,0821975 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-11 9,08619 9,08119 10,25 10,25 93,1334475 93,0821975 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-12 9,0455 9,0405 10,24 10,24 92,62592 92,57472 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-13 9,0505 9,0455 10,23 10,23 92,586615 92,535465 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-14 9,0455 9,0405 10,24 10,24 92,62592 92,57472 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-17 9,0685 9,0635 10,23 10,23 92,770755 92,719605 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-18 9,0585 9,0535 10,23 10,23 92,668455 92,617305 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-19 9,0225 9,0175 10,22 10,22 92,20995 92,15885 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-20 9,0315 9,0265 10,23 10,23 92,392245 92,341095 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-21 9,0505 9,0455 10,22 10,22 92,49611 92,44501 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-24 9,0655 9,0605 10,22 10,22 92,64941 92,59831 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-25 9,0715 9,0665 10,22 10,22 92,71073 92,65963 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-26 9,0885 9,0835 10,23 10,23 92,975355 92,924205 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-27 9,0675 9,0625 10,25 10,25 92,941875 92,890625 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-28 9,0955 9,0905 10,27 10,27 93,410785 93,359435 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-01-31 9,1075 9,1025 10,27 10,27 93,534025 93,482675 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-01 9,1035 9,0985 10,27 10,27 93,492945 93,441595 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-02 9,0905 9,0855 10,28 10,28 93,45034 93,39894 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-03 9,0695 9,0645 10,3 10,3 93,41585 93,36435 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-04 9,0895 9,0845 10,3 10,3 93,62185 93,57035 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-07 9,0755 9,0705 10,31 10,31 93,568405 93,516855 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-08 9,0895 9,0845 10,32 10,32 93,80364 93,75204 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-09 9,0695 9,0645 10,34 10,34 93,77863 93,72693 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-10 9,0805 9,0755 10,35 10,35 93,983175 93,931425 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-11 9,0935 9,0885 10,35 10,35 94,117725 94,065975 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-14 9,1105 9,1055 10,36 10,36 94,38478 94,33298 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-15 9,0765 9,0715 10,37 10,37 94,123305 94,071455 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-16 9,0705 9,0655 10,39 10,39 94,242495 94,190545 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-17 9,0925 9,0875 10,39 10,39 94,471075 94,419125 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-18 9,0945 9,0895 10,4 10,4 94,5828 94,5308 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-21 9,1185 9,1135 10,4 10,4 94,8324 94,7804 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-22 9,0975 9,0925 10,39 10,39 94,523025 94,471075 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-23 9,1045 9,0995 10,39 10,39 94,595755 94,543805 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-24 9,0715 9,0665 10,38 10,38 94,16217 94,11027 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-25 9,0845 9,0795 10,38 10,38 94,29711 94,24521 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-02-28 9,0505 9,0455 10,39 10,39 94,034695 93,982745 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-01 9,0565 9,0515 10,4 10,4 94,1876 94,1356 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-02 9,0645 9,0595 10,42 10,42 94,45209 94,39999 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-03 9,0675 9,0625 10,42 10,42 94,48335 94,43125 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-04 9,0415 9,0365 10,41 10,41 94,122015 94,069965 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-07 9,0425 9,0375 10,41 10,41 94,132425 94,080375 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-08 9,0345 9,0295 10,42 10,42 94,13949 94,08739 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-09 9,0365 9,0315 10,43 10,43 94,250695 94,198545 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-10 9,0655 9,0605 10,42 10,42 94,46251 94,41041 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-11 9,0795 9,0745 10,4 10,4 94,4268 94,3748 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-14 9,0695 9,0645 10,4 10,4 94,3228 94,2708 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-15 9,1035 9,0985 10,37 10,37 94,403295 94,351445 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-16 9,0975 9,0925 10,37 10,37 94,341075 94,289225 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-17 9,1045 9,0995 10,32 10,32 93,95844 93,90684 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-18 9,1035 9,0985 10,3 10,3 93,76605 93,71455 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-21 9,1265 9,1215 10,3 10,3 94,00295 93,95145 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-22 9,1265 9,1215 10,25 10,25 93,546625 93,495375 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-23 9,1165 9,1115 10,21 10,21 93,079465 93,028415 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-24 9,1135 9,1085 10,2 10,2 92,9577 92,9067 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-29 9,1315 9,1265 10,21 10,21 93,232615 93,181565 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-30 9,1425 9,1375 10,19 10,19 93,162075 93,111125 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-03-31 9,1405 9,1355 10,17 10,17 92,958885 92,908035 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-01 9,1645 9,1595 10,15 10,15 93,019675 92,968925 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-04 9,1695 9,1645 10,14 10,14 92,97873 92,92803 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-05 9,1745 9,1695 10,1 10,1 92,66245 92,61195 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-06 9,1705 9,1655 10,1 10,1 92,62205 92,57155 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-07 9,1505 9,1455 10,12 10,12 92,60306 92,55246 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-08 9,1625 9,1575 10,16 10,16 93,091 93,0402 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-11 9,1705 9,1655 10,19 10,19 93,447395 93,396445 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-12 9,1525 9,1475 10,16 10,16 92,9894 92,9386 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-13 9,1495 9,1445 10,18 10,18 93,14191 93,09101 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-14 9,1685 9,1635 10,17 10,17 93,243645 93,192795 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-15 9,1925 9,1875 10,12 10,12 93,0281 92,9775 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-18 9,1805 9,1755 10,09 10,09 92,631245 92,580795 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-19 9,2035 9,1985 10,05 10,05 92,495175 92,444925 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-20 9,1915 9,1865 10,05 10,05 92,374575 92,324325 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-21 9,1855 9,1805 10,08 10,08 92,58984 92,53944 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-22 9,1625 9,1575 10,1 10,1 92,54125 92,49075 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-25 9,1685 9,1635 10,11 10,11 92,693535 92,642985 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-26 9,1375 9,1325 10,11 10,11 92,380125 92,329575 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-27 9,1465 9,1415 10,1 10,1 92,37965 92,32915 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-28 9,1505 9,1455 10,07 10,07 92,145535 92,095185 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-04-29 9,1705 9,1655 10,06 10,06 92,25523 92,20493 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-02 9,1935 9,1885 10,03 10,03 92,210805 92,160655 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-03 9,2245 9,2195 10,03 10,03 92,521735 92,471585 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-04 9,1915 9,1865 10,03 10,03 92,190745 92,140595 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-06 9,1715 9,1665 10,02 10,02 91,89843 91,84833 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-09 9,1815 9,1765 10,01 10,01 91,906815 91,856765 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-10 9,1985 9,1935 10 10 91,985 91,935 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-11 9,2105 9,2055 9,97 9,97 91,828685 91,778835 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-12 9,2315 9,2265 9,93 9,93 91,668795 91,619145 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-13 9,2045 9,1995 9,91 9,91 91,216595 91,167045 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-17 9,2325 9,2275 9,81 9,81 90,570825 90,521775 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-18 9,2095 9,2045 9,77 9,77 89,976815 89,927965 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-19 9,1905 9,1855 9,77 9,77 89,791185 89,742335 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-20 9,1955 9,1905 9,83 9,83 90,391765 90,342615 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-23 9,1805 9,1755 9,85 9,85 90,427925 90,378675 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-24 9,1815 9,1765 9,88 9,88 90,71322 90,66382 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-25 9,1785 9,1735 9,91 9,91 90,958935 90,909385 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-26 9,1945 9,1895 9,93 9,93 91,301385 91,251735 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-27 9,1955 9,1905 9,98 9,98 91,77109 91,72119 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-30 9,1905 9,1855 10 10 91,905 91,855 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-05-31 9,1665 9,1615 10 10 91,665 91,615 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-01 9,1455 9,1405 10,01 10,01 91,546455 91,496405 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-02 9,1565 9,1515 10,01 10,01 91,656565 91,606515 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-03 9,1315 9,1265 10,04 10,04 91,68026 91,63006 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-07 9,1455 9,1405 10,1 10,1 92,36955 92,31905 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-08 9,1455 9,1405 10,11 10,11 92,461005 92,410455 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-09 9,1965 9,1915 10,13 10,13 93,160545 93,109895 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-10 9,1975 9,1925 10,11 10,11 92,986725 92,936175 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-13 9,2365 9,2315 10,12 10,12 93,47338 93,42278 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-14 9,2985 9,2935 10,12 10,12 94,10082 94,05022 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-15 9,2695 9,2645 10,14 10,14 93,99273 93,94203 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-16 9,2695 9,2645 10,16 10,16 94,17812 94,12732 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-17 9,2695 9,2645 10,15 10,15 94,085425 94,034675 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-20 9,2255 9,2205 10,16 10,16 93,73108 93,68028 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-21 9,2725 9,2675 10,16 10,16 94,2086 94,1578 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-22 9,2615 9,2565 10,17 10,17 94,189455 94,138605 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-27 9,3855 9,3805 10,16 10,16 95,35668 95,30588 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-28 9,3995 9,3945 10,16 10,16 95,49892 95,44812 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-29 9,4215 9,4165 10,17 10,17 95,816655 95,765805 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-06-30 9,4415 9,4365 10,2 10,2 96,3033 96,2523 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-01 9,4595 9,4545 10,21 10,21 96,581495 96,530445 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-04 9,4795 9,4745 10,23 10,23 96,975285 96,924135 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-05 9,4575 9,4525 10,23 10,23 96,750225 96,699075 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-06 9,4195 9,4145 10,24 10,24 96,45568 96,40448 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-07 9,3965 9,3915 10,14 10,14 95,28051 95,22981 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-08 9,4175 9,4125 10,24 10,24 96,4352 96,384 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-11 9,4665 9,4615 10,25 10,25 97,031625 96,980375 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-12 9,4645 9,4595 10,37 10,37 98,146865 98,095015 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-13 9,3915 9,3865 10,31 10,31 96,826365 96,774815 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-14 9,3675 9,3625 10,32 10,32 96,6726 96,621 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-15 9,4055 9,4005 10,33 10,33 97,158815 97,107165 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-18 9,3895 9,3845 10,47 10,47 98,308065 98,255715 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-19 9,4425 9,4375 10,37 10,37 97,918725 97,866875 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-20 9,4265 9,4215 10,36 10,36 97,65854 97,60674 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-21 9,4625 9,4575 10,36 10,36 98,0315 97,9797 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-22 9,4495 9,4445 10,36 10,36 97,89682 97,84502 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-25 9,4275 9,4225 10,37 10,37 97,763175 97,711325 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-26 9,4155 9,4105 10,26 10,26 96,60303 96,55173 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-27 9,4725 9,4675 10,35 10,35 98,040375 97,988625 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-28 9,4515 9,4465 10,34 10,34 97,72851 97,67681 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-07-29 9,3885 9,3835 10,34 10,34 97,07709 97,02539 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-01 9,3985 9,3935 10,36 10,36 97,36846 97,31666 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-02 9,3995 9,3945 10,36 10,36 97,37882 97,32702 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-03 9,3755 9,3705 10,37 10,37 97,223935 97,172085 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-04 9,3735 9,3685 10,37 10,37 97,203195 97,151345 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-05 9,3355 9,3305 10,38 10,38 96,90249 96,85059 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-08 9,3335 9,3285 10,39 10,39 96,975065 96,923115 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-09 9,3455 9,3405 10,37 10,37 96,912835 96,860985 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-10 9,3535 9,3485 10,36 10,36 96,90226 96,85046 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-11 9,3365 9,3315 10,37 10,37 96,819505 96,767655 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-12 9,3025 9,2975 10,37 10,37 96,466925 96,415075 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-16 9,2995 9,2945 10,39 10,39 96,621805 96,569855 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-17 9,3405 9,3355 10,39 10,39 97,047795 96,995845 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-18 9,3365 9,3315 10,4 10,4 97,0996 97,0476 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-19 9,3395 9,3345 10,41 10,41 97,224195 97,172145 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-22 9,3655 9,3605 10,42 10,42 97,58851 97,53641 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-23 9,3715 9,3665 10,43 10,43 97,744745 97,692595 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-24 9,3365 9,3315 10,43 10,43 97,379695 97,327545 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-25 9,3335 9,3285 10,44 10,44 97,44174 97,38954 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-26 9,3415 9,3365 10,44 10,44 97,52526 97,47306 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-29 9,3295 9,3245 10,44 10,44 97,39998 97,34778 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-30 9,3285 9,3235 10,44 10,44 97,38954 97,33734 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-08-31 9,3585 9,3535 10,44 10,44 97,70274 97,65054 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-01 9,3365 9,3315 10,43 10,43 97,379695 97,327545 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-02 9,3025 9,2975 10,42 10,42 96,93205 96,87995 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-05 9,2845 9,2795 10,42 10,42 96,74449 96,69239 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-06 9,3225 9,3175 10,42 10,42 97,14045 97,08835 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-07 9,3075 9,3025 10,43 10,43 97,077225 97,025075 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-08 9,3255 9,3205 10,44 10,44 97,35822 97,30602 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-09 9,3445 9,3395 10,44 10,44 97,55658 97,50438 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-12 9,3015 9,2965 10,45 10,45 97,200675 97,148425 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-13 9,3015 9,2965 10,36 10,36 96,36354 96,31174 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-14 9,3365 9,3315 10,46 10,46 97,65979 97,60749 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-15 9,3425 9,3375 10,47 10,47 97,815975 97,763625 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-16 9,3465 9,3415 10,47 10,47 97,857855 97,805505 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-19 9,3355 9,3305 10,37 10,37 96,809135 96,757285 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-20 9,3395 9,3345 10,46 10,46 97,69117 97,63887 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-21 9,3405 9,3355 10,45 10,45 97,608225 97,555975 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-22 9,3405 9,3355 10,43 10,43 97,421415 97,369265 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-23 9,3695 9,3645 10,42 10,42 97,63019 97,57809 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-26 9,3815 9,3765 10,43 10,43 97,849045 97,796895 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-27 9,3885 9,3835 10,44 10,44 98,01594 97,96374 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-28 9,3935 9,3885 10,45 10,45 98,162075 98,109825 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-29 9,3845 9,3795 10,44 10,44 97,97418 97,92198 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-09-30 9,3435 9,3385 10,45 10,45 97,639575 97,587325 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-03 9,3025 9,2975 10,46 10,46 97,30415 97,25185 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-04 9,3185 9,3135 10,47 10,47 97,564695 97,512345 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-05 9,3105 9,3055 10,47 10,47 97,480935 97,428585 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-06 9,3015 9,2965 10,47 10,47 97,386705 97,334355 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-07 9,3385 9,3335 10,46 10,46 97,68071 97,62841 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-10 9,3465 9,3415 10,45 10,45 97,670925 97,618675 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-11 9,3395 9,3345 10,44 10,44 97,50438 97,45218 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-12 9,3375 9,3325 10,42 10,42 97,29675 97,24465 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-13 9,3815 9,3765 10,4 10,4 97,5676 97,5156 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-14 9,4135 9,4085 10,36 10,36 97,52386 97,47206 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-17 9,4575 9,4525 10,36 10,36 97,9797 97,9279 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-18 9,4625 9,4575 10,38 10,38 98,22075 98,16885 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-19 9,4605 9,4555 10,42 10,42 98,57841 98,52631 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-20 9,4935 9,4885 10,41 10,41 98,827335 98,775285 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-21 9,4915 9,4865 10,4 10,4 98,7116 98,6596 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-24 9,5455 9,5405 10,41 10,41 99,368655 99,316605 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-25 9,5465 9,5415 10,43 10,43 99,569995 99,517845 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-26 9,4975 9,4925 10,43 10,43 99,058925 99,006775 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-27 9,5355 9,5305 10,42 10,42 99,35991 99,30781 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-28 9,5135 9,5085 10,42 10,42 99,13067 99,07857 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-10-31 9,5495 9,5445 10,41 10,41 99,410295 99,358245 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-02 9,5855 9,5805 10,43 10,43 99,976765 99,924615 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-03 9,6515 9,6465 10,43 10,43 100,665145 100,612995 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-04 9,5875 9,5825 10,44 10,44 100,0935 100,0413 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-07 9,6075 9,6025 10,45 10,45 100,398375 100,346125 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-08 9,5685 9,5635 10,45 10,45 99,990825 99,938575 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-09 9,5575 9,5525 10,46 10,46 99,97145 99,91915 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-10 9,6105 9,6055 10,46 10,46 100,52583 100,47353 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-11 9,6365 9,6315 10,45 10,45 100,701425 100,649175 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-14 9,5505 9,5455 10,46 10,46 99,89823 99,84593 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-15 9,5805 9,5755 10,45 10,45 100,116225 100,063975 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-16 9,6235 9,6185 10,45 10,45 100,565575 100,513325 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-17 9,6355 9,6305 10,45 10,45 100,690975 100,638725 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-18 9,6085 9,6035 10,44 10,44 100,31274 100,26054 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-21 9,5915 9,5865 10,44 10,44 100,13526 100,08306 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-22 9,5585 9,5535 10,45 10,45 99,886325 99,834075 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-23 9,5155 9,5105 10,45 10,45 99,436975 99,384725 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-24 9,5125 9,5075 10,46 10,46 99,50075 99,44845 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-25 9,4965 9,4915 10,46 10,46 99,33339 99,28109 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-28 9,4835 9,4785 10,36 10,36 98,24906 98,19726 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-29 9,4785 9,4735 10,47 10,47 99,239895 99,187545 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-11-30 9,5295 9,5245 10,47 10,47 99,773865 99,721515 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-01 9,5165 9,5115 10,49 10,49 99,828085 99,775635 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-02 9,4905 9,4855 10,5 10,5 99,65025 99,59775 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-05 9,4065 9,4015 10,51 10,51 98,862315 98,809765 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-06 9,4185 9,4135 10,5 10,5 98,89425 98,84175 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-07 9,4255 9,4205 10,49 10,49 98,873495 98,821045 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-08 9,3965 9,3915 10,48 10,48 98,47532 98,42292 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-12 9,4315 9,4265 10,5 10,5 99,03075 98,97825 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-13 9,4295 9,4245 10,51 10,51 99,104045 99,051495 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-14 9,4365 9,4315 10,5 10,5 99,08325 99,03075 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-15 9,4345 9,4295 10,51 10,51 99,156595 99,104045 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-16 9,4765 9,4715 10,51 10,51 99,598015 99,545465 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-19 9,4535 9,4485 10,52 10,52 99,45082 99,39822 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-20 9,4015 9,3965 10,52 10,52 98,90378 98,85118 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-21 9,4485 9,4435 10,52 10,52 99,39822 99,34562 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-22 9,4365 9,4315 10,52 10,52 99,27198 99,21938 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-23 9,4425 9,4375 10,52 10,52 99,3351 99,2825 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-27 9,4915 9,4865 10,52 10,52 99,85058 99,79798 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-28 9,4345 9,4295 10,52 10,52 99,25094 99,19834 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-29 9,4115 9,4065 10,52 10,52 99,00898 98,95638 930768 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Currencies High Yield Bond Fund EUR 2005-12-30 9,4325 9,4275 10,52 10,52 99,2299 99,1773 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-03 9,0065 9,0015 6,18 6,18 55,66017 55,62927 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-04 9,0345 9,0295 6,19 6,19 55,923555 55,892605 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-05 9,0615 9,0565 6,14 6,14 55,63761 55,60691 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-07 9,0615 9,0565 6,18 6,18 56,00007 55,96917 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-10 9,08619 9,08119 6,2 6,2 56,334378 56,303378 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-11 9,08619 9,08119 6,16 6,16 55,9709304 55,9401304 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-12 9,0455 9,0405 6,15 6,15 55,629825 55,599075 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-13 9,0505 9,0455 6,11 6,11 55,298555 55,268005 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-14 9,0455 9,0405 6,15 6,15 55,629825 55,599075 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-17 9,0685 9,0635 6,18 6,18 56,04333 56,01243 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-18 9,0585 9,0535 6,16 6,16 55,80036 55,76956 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-19 9,0225 9,0175 6,19 6,19 55,849275 55,818325 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-20 9,0315 9,0265 6,15 6,15 55,543725 55,512975 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-21 9,0505 9,0455 6,14 6,14 55,57007 55,53937 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-24 9,0655 9,0605 6,13 6,13 55,571515 55,540865 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-25 9,0715 9,0665 6,16 6,16 55,88044 55,84964 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-26 9,0885 9,0835 6,2 6,2 56,3487 56,3177 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-27 9,0675 9,0625 6,2 6,2 56,2185 56,1875 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-28 9,0955 9,0905 6,21 6,21 56,483055 56,452005 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-01-31 9,1075 9,1025 6,24 6,24 56,8308 56,7996 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-01 9,1035 9,0985 6,26 6,26 56,98791 56,95661 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-02 9,0905 9,0855 6,3 6,3 57,27015 57,23865 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-03 9,0695 9,0645 6,31 6,31 57,228545 57,196995 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-04 9,0895 9,0845 6,34 6,34 57,62743 57,59573 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-07 9,0755 9,0705 6,4 6,4 58,0832 58,0512 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-08 9,0895 9,0845 6,42 6,42 58,35459 58,32249 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-09 9,0695 9,0645 6,42 6,42 58,22619 58,19409 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-10 9,0805 9,0755 6,43 6,43 58,387615 58,355465 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-11 9,0935 9,0885 6,44 6,44 58,56214 58,52994 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-14 9,1105 9,1055 6,47 6,47 58,944935 58,912585 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-15 9,0765 9,0715 6,49 6,49 58,906485 58,874035 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-16 9,0705 9,0655 6,47 6,47 58,686135 58,653785 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-17 9,0925 9,0875 6,48 6,48 58,9194 58,887 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-18 9,0945 9,0895 6,48 6,48 58,93236 58,89996 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-21 9,1185 9,1135 6,48 6,48 59,08788 59,05548 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-22 9,0975 9,0925 6,41 6,41 58,314975 58,282925 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-23 9,1045 9,0995 6,36 6,36 57,90462 57,87282 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-24 9,0715 9,0665 6,4 6,4 58,0576 58,0256 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-25 9,0845 9,0795 6,44 6,44 58,50418 58,47198 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-02-28 9,0505 9,0455 6,45 6,45 58,375725 58,343475 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-01 9,0565 9,0515 6,47 6,47 58,595555 58,563205 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-02 9,0645 9,0595 6,47 6,47 58,647315 58,614965 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-03 9,0675 9,0625 6,51 6,51 59,029425 58,996875 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-04 9,0415 9,0365 6,51 6,51 58,860165 58,827615 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-07 9,0425 9,0375 6,53 6,53 59,047525 59,014875 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-08 9,0345 9,0295 6,52 6,52 58,90494 58,87234 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-09 9,0365 9,0315 6,52 6,52 58,91798 58,88538 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-10 9,0655 9,0605 6,43 6,43 58,291165 58,259015 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-11 9,0795 9,0745 6,44 6,44 58,47198 58,43978 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-14 9,0695 9,0645 6,41 6,41 58,135495 58,103445 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-15 9,1035 9,0985 6,46 6,46 58,80861 58,77631 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-16 9,0975 9,0925 6,44 6,44 58,5879 58,5557 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-17 9,1045 9,0995 6,37 6,37 57,995665 57,963815 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-18 9,1035 9,0985 6,39 6,39 58,171365 58,139415 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-21 9,1265 9,1215 6,38 6,38 58,22707 58,19517 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-22 9,1265 9,1215 6,33 6,33 57,770745 57,739095 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-23 9,1165 9,1115 6,34 6,34 57,79861 57,76691 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-24 9,1135 9,1085 6,38 6,38 58,14413 58,11223 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-29 9,1315 9,1265 6,38 6,38 58,25897 58,22707 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-30 9,1425 9,1375 6,39 6,39 58,420575 58,388625 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-03-31 9,1405 9,1355 6,41 6,41 58,590605 58,558555 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-01 9,1645 9,1595 6,41 6,41 58,744445 58,712395 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-04 9,1695 9,1645 6,35 6,35 58,226325 58,194575 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-05 9,1745 9,1695 6,41 6,41 58,808545 58,776495 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-06 9,1705 9,1655 6,43 6,43 58,966315 58,934165 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-07 9,1505 9,1455 6,45 6,45 59,020725 58,988475 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-08 9,1625 9,1575 6,48 6,48 59,373 59,3406 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-11 9,1705 9,1655 6,45 6,45 59,149725 59,117475 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-12 9,1525 9,1475 6,44 6,44 58,9421 58,9099 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-13 9,1495 9,1445 6,46 6,46 59,10577 59,07347 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-14 9,1685 9,1635 6,45 6,45 59,136825 59,104575 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-15 9,1925 9,1875 6,39 6,39 58,740075 58,708125 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-18 9,1805 9,1755 6,24 6,24 57,28632 57,25512 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-19 9,2035 9,1985 6,29 6,29 57,890015 57,858565 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-20 9,1915 9,1865 6,3 6,3 57,90645 57,87495 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-21 9,1855 9,1805 6,26 6,26 57,50123 57,46993 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-22 9,1625 9,1575 6,29 6,29 57,632125 57,600675 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-25 9,1685 9,1635 6,29 6,29 57,669865 57,638415 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-26 9,1375 9,1325 6,28 6,28 57,3835 57,3521 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-27 9,1465 9,1415 6,24 6,24 57,07416 57,04296 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-28 9,1505 9,1455 6,21 6,21 56,824605 56,793555 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-04-29 9,1705 9,1655 6,23 6,23 57,132215 57,101065 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-02 9,1935 9,1885 6,26 6,26 57,55131 57,52001 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-03 9,2245 9,2195 6,27 6,27 57,837615 57,806265 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-04 9,1915 9,1865 6,26 6,26 57,53879 57,50749 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-06 9,1715 9,1665 6,32 6,32 57,96388 57,93228 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-09 9,1815 9,1765 6,32 6,32 58,02708 57,99548 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-10 9,1985 9,1935 6,3 6,3 57,95055 57,91905 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-11 9,2105 9,2055 6,27 6,27 57,749835 57,718485 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-12 9,2315 9,2265 6,31 6,31 58,250765 58,219215 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-13 9,2045 9,1995 6,29 6,29 57,896305 57,864855 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-17 9,2325 9,2275 6,29 6,29 58,072425 58,040975 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-18 9,2095 9,2045 6,33 6,33 58,296135 58,264485 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-19 9,1905 9,1855 6,38 6,38 58,63539 58,60349 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-20 9,1955 9,1905 6,4 6,4 58,8512 58,8192 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-23 9,1805 9,1755 6,41 6,41 58,847005 58,814955 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-24 9,1815 9,1765 6,41 6,41 58,853415 58,821365 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-25 9,1785 9,1735 6,42 6,42 58,92597 58,89387 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-26 9,1945 9,1895 6,45 6,45 59,304525 59,272275 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-27 9,1955 9,1905 6,44 6,44 59,21902 59,18682 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-30 9,1905 9,1855 6,47 6,47 59,462535 59,430185 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-05-31 9,1665 9,1615 6,49 6,49 59,490585 59,458135 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-01 9,1455 9,1405 6,52 6,52 59,62866 59,59606 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-02 9,1565 9,1515 6,57 6,57 60,158205 60,125355 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-03 9,1315 9,1265 6,56 6,56 59,90264 59,86984 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-07 9,1455 9,1405 6,56 6,56 59,99448 59,96168 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-08 9,1455 9,1405 6,58 6,58 60,17739 60,14449 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-09 9,1965 9,1915 6,55 6,55 60,237075 60,204325 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-10 9,1975 9,1925 6,62 6,62 60,88745 60,85435 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-13 9,2365 9,2315 6,62 6,62 61,14563 61,11253 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-14 9,2985 9,2935 6,62 6,62 61,55607 61,52297 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-15 9,2695 9,2645 6,65 6,65 61,642175 61,608925 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-16 9,2695 9,2645 6,65 6,65 61,642175 61,608925 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-17 9,2695 9,2645 6,68 6,68 61,92026 61,88686 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-20 9,2255 9,2205 6,64 6,64 61,25732 61,22412 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-21 9,2725 9,2675 6,69 6,69 62,033025 61,999575 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-22 9,2615 9,2565 6,72 6,72 62,23728 62,20368 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-27 9,3855 9,3805 6,6 6,6 61,9443 61,9113 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-28 9,3995 9,3945 6,64 6,64 62,41268 62,37948 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-29 9,4215 9,4165 6,68 6,68 62,93562 62,90222 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-06-30 9,4415 9,4365 6,7 6,7 63,25805 63,22455 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-01 9,4595 9,4545 6,68 6,68 63,18946 63,15606 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-04 9,4795 9,4745 6,73 6,73 63,797035 63,763385 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-05 9,4575 9,4525 6,71 6,71 63,459825 63,426275 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-06 9,4195 9,4145 6,79 6,79 63,958405 63,924455 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-07 9,3965 9,3915 6,53 6,53 61,359145 61,326495 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-08 9,4175 9,4125 6,74 6,74 63,47395 63,44025 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-11 9,4665 9,4615 6,78 6,78 64,18287 64,14897 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-12 9,4645 9,4595 6,78 6,78 64,16931 64,13541 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-13 9,3915 9,3865 6,79 6,79 63,768285 63,734335 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-14 9,3675 9,3625 6,86 6,86 64,26105 64,22675 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-15 9,4055 9,4005 6,84 6,84 64,33362 64,29942 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-18 9,3895 9,3845 6,84 6,84 64,22418 64,18998 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-19 9,4425 9,4375 6,83 6,83 64,492275 64,458125 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-20 9,4265 9,4215 6,84 6,84 64,47726 64,44306 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-21 9,4625 9,4575 6,83 6,83 64,628875 64,594725 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-22 9,4495 9,4445 6,79 6,79 64,162105 64,128155 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-25 9,4275 9,4225 6,82 6,82 64,29555 64,26145 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-26 9,4155 9,4105 6,88 6,88 64,77864 64,74424 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-27 9,4725 9,4675 6,88 6,88 65,1708 65,1364 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-28 9,4515 9,4465 6,91 6,91 65,309865 65,275315 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-07-29 9,3885 9,3835 6,95 6,95 65,250075 65,215325 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-01 9,3985 9,3935 6,92 6,92 65,03762 65,00302 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-02 9,3995 9,3945 6,95 6,95 65,326525 65,291775 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-03 9,3755 9,3705 6,96 6,96 65,25348 65,21868 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-04 9,3735 9,3685 6,91 6,91 64,770885 64,736335 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-05 9,3355 9,3305 6,9 6,9 64,41495 64,38045 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-08 9,3335 9,3285 6,92 6,92 64,58782 64,55322 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-09 9,3455 9,3405 6,91 6,91 64,577405 64,542855 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-10 9,3535 9,3485 6,99 6,99 65,380965 65,346015 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-11 9,3365 9,3315 6,99 6,99 65,262135 65,227185 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-12 9,3025 9,2975 6,99 6,99 65,024475 64,989525 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-16 9,2995 9,2945 7,01 7,01 65,189495 65,154445 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-17 9,3405 9,3355 6,96 6,96 65,00988 64,97508 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-18 9,3365 9,3315 6,95 6,95 64,888675 64,853925 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-19 9,3395 9,3345 6,99 6,99 65,283105 65,248155 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-22 9,3655 9,3605 7,03 7,03 65,839465 65,804315 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-23 9,3715 9,3665 6,97 6,97 65,319355 65,284505 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-24 9,3365 9,3315 6,93 6,93 64,701945 64,667295 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-25 9,3335 9,3285 6,89 6,89 64,307815 64,273365 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-26 9,3415 9,3365 6,9 6,9 64,45635 64,42185 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-29 9,3295 9,3245 6,82 6,82 63,62719 63,59309 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-30 9,3285 9,3235 6,86 6,86 63,99351 63,95921 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-08-31 9,3585 9,3535 6,87 6,87 64,292895 64,258545 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-01 9,3365 9,3315 6,93 6,93 64,701945 64,667295 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-02 9,3025 9,2975 6,93 6,93 64,466325 64,431675 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-05 9,2845 9,2795 6,96 6,96 64,62012 64,58532 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-06 9,3225 9,3175 7,02 7,02 65,44395 65,40885 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-07 9,3075 9,3025 7,04 7,04 65,5248 65,4896 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-08 9,3255 9,3205 7,06 7,06 65,83803 65,80273 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-09 9,3445 9,3395 7,06 7,06 65,97217 65,93687 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-12 9,3015 9,2965 7,09 7,09 65,947635 65,912185 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-13 9,3015 9,2965 7,05 7,05 65,575575 65,540325 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-14 9,3365 9,3315 7,04 7,04 65,72896 65,69376 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-15 9,3425 9,3375 7,06 7,06 65,95805 65,92275 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-16 9,3465 9,3415 7,1 7,1 66,36015 66,32465 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-19 9,3355 9,3305 7,13 7,13 66,562115 66,526465 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-20 9,3395 9,3345 7,13 7,13 66,590635 66,554985 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-21 9,3405 9,3355 7,07 7,07 66,037335 66,001985 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-22 9,3405 9,3355 7,01 7,01 65,476905 65,441855 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-23 9,3695 9,3645 7,04 7,04 65,96128 65,92608 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-26 9,3815 9,3765 7,13 7,13 66,890095 66,854445 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-27 9,3885 9,3835 7,11 7,11 66,752235 66,716685 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-28 9,3935 9,3885 7,17 7,17 67,351395 67,315545 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-29 9,3845 9,3795 7,17 7,17 67,286865 67,251015 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-09-30 9,3435 9,3385 7,19 7,19 67,179765 67,143815 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-03 9,3025 9,2975 7,26 7,26 67,53615 67,49985 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-04 9,3185 9,3135 7,28 7,28 67,83868 67,80228 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-05 9,3105 9,3055 7,23 7,23 67,314915 67,278765 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-06 9,3015 9,2965 7,09 7,09 65,947635 65,912185 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-07 9,3385 9,3335 7,08 7,08 66,11658 66,08118 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-10 9,3465 9,3415 7,12 7,12 66,54708 66,51148 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-11 9,3395 9,3345 7,14 7,14 66,68403 66,64833 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-12 9,3375 9,3325 7,09 7,09 66,202875 66,167425 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-13 9,3815 9,3765 7,02 7,02 65,85813 65,82303 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-14 9,4135 9,4085 7,01 7,01 65,988635 65,953585 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-17 9,4575 9,4525 7,01 7,01 66,297075 66,262025 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-18 9,4625 9,4575 7,04 7,04 66,616 66,5808 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-19 9,4605 9,4555 6,9 6,9 65,27745 65,24295 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-20 9,4935 9,4885 6,98 6,98 66,26463 66,22973 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-21 9,4915 9,4865 6,9 6,9 65,49135 65,45685 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-24 9,5455 9,5405 6,95 6,95 66,341225 66,306475 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-25 9,5465 9,5415 6,97 6,97 66,539105 66,504255 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-26 9,4975 9,4925 6,97 6,97 66,197575 66,162725 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-27 9,5355 9,5305 6,92 6,92 65,98566 65,95106 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-28 9,5135 9,5085 6,9 6,9 65,64315 65,60865 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-10-31 9,5495 9,5445 7,08 7,08 67,61046 67,57506 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-02 9,5855 9,5805 7,1 7,1 68,05705 68,02155 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-03 9,6515 9,6465 7,24 7,24 69,87686 69,84066 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-04 9,5875 9,5825 7,24 7,24 69,4135 69,3773 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-07 9,6075 9,6025 7,27 7,27 69,846525 69,810175 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-08 9,5685 9,5635 7,27 7,27 69,562995 69,526645 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-09 9,5575 9,5525 7,27 7,27 69,483025 69,446675 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-10 9,6105 9,6055 7,3 7,3 70,15665 70,12015 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-11 9,6365 9,6315 7,34 7,34 70,73191 70,69521 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-14 9,5505 9,5455 7,36 7,36 70,29168 70,25488 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-15 9,5805 9,5755 7,29 7,29 69,841845 69,805395 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-16 9,6235 9,6185 7,26 7,26 69,86661 69,83031 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-17 9,6355 9,6305 7,3 7,3 70,33915 70,30265 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-18 9,6085 9,6035 7,34 7,34 70,52639 70,48969 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-21 9,5915 9,5865 7,32 7,32 70,20978 70,17318 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-22 9,5585 9,5535 7,36 7,36 70,35056 70,31376 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-23 9,5155 9,5105 7,39 7,39 70,319545 70,282595 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-24 9,5125 9,5075 7,39 7,39 70,297375 70,260425 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-25 9,4965 9,4915 7,43 7,43 70,558995 70,521845 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-28 9,4835 9,4785 7,4 7,4 70,1779 70,1409 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-29 9,4785 9,4735 7,39 7,39 70,046115 70,009165 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-11-30 9,5295 9,5245 7,35 7,35 70,041825 70,005075 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-01 9,5165 9,5115 7,43 7,43 70,707595 70,670445 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-02 9,4905 9,4855 7,49 7,49 71,083845 71,046395 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-05 9,4065 9,4015 7,49 7,49 70,454685 70,417235 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-06 9,4185 9,4135 7,5 7,5 70,63875 70,60125 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-07 9,4255 9,4205 7,52 7,52 70,87976 70,84216 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-08 9,3965 9,3915 7,48 7,48 70,28582 70,24842 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-12 9,4315 9,4265 7,53 7,53 71,019195 70,981545 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-13 9,4295 9,4245 7,52 7,52 70,90984 70,87224 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-14 9,4365 9,4315 7,5 7,5 70,77375 70,73625 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-15 9,4345 9,4295 7,47 7,47 70,475715 70,438365 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-16 9,4765 9,4715 7,5 7,5 71,07375 71,03625 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-19 9,4535 9,4485 7,49 7,49 70,806715 70,769265 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-20 9,4015 9,3965 7,49 7,49 70,417235 70,379785 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-21 9,4485 9,4435 7,54 7,54 71,24169 71,20399 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-22 9,4365 9,4315 7,56 7,56 71,33994 71,30214 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-23 9,4425 9,4375 7,54 7,54 71,19645 71,15875 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-27 9,4915 9,4865 7,55 7,55 71,660825 71,623075 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-28 9,4345 9,4295 7,54 7,54 71,13613 71,09843 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-29 9,4115 9,4065 7,57 7,57 71,245055 71,207205 155788 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Euro Hedged Fund EUR 2005-12-30 9,4325 9,4275 7,54 7,54 71,12105 71,08335 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-03 9,0065 9,0015 22,98 22,98 206,96937 206,85447 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-04 9,0345 9,0295 23,05 23,05 208,245225 208,129975 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-05 9,0615 9,0565 22,91 22,91 207,598965 207,484415 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-07 9,0615 9,0565 23,06 23,06 208,95819 208,84289 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-10 9,08619 9,08119 23,12 23,12 210,0727128 209,9571128 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-11 9,08619 9,08119 22,97 22,97 208,7097843 208,5949343 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-12 9,0455 9,0405 22,92 22,92 207,32286 207,20826 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-13 9,0505 9,0455 22,79 22,79 206,260895 206,146945 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European 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317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-25 9,0715 9,0665 22,93 22,93 208,009495 207,894845 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-26 9,0885 9,0835 23,06 23,06 209,58081 209,46551 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-27 9,0675 9,0625 23,02 23,02 208,73385 208,61875 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-28 9,0955 9,0905 23,09 23,09 210,015095 209,899645 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-01-31 9,1075 9,1025 23,16 23,16 210,9297 210,8139 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-01 9,1035 9,0985 23,2 23,2 211,2012 211,0852 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV 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215,93429 215,81539 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-11 9,0935 9,0885 23,82 23,82 216,60717 216,48807 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-14 9,1105 9,1055 23,92 23,92 217,92316 217,80356 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-15 9,0765 9,0715 24,02 24,02 218,01753 217,89743 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-16 9,0705 9,0655 23,94 23,94 217,14777 217,02807 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-17 9,0925 9,0875 23,97 23,97 217,947225 217,827375 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-18 9,0945 9,0895 23,98 23,98 218,08611 217,96621 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-21 9,1185 9,1135 23,98 23,98 218,66163 218,54173 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-22 9,0975 9,0925 23,82 23,82 216,70245 216,58335 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-23 9,1045 9,0995 23,61 23,61 214,957245 214,839195 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-24 9,0715 9,0665 23,72 23,72 215,17598 215,05738 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-25 9,0845 9,0795 23,9 23,9 217,11955 217,00005 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-02-28 9,0505 9,0455 23,96 23,96 216,84998 216,73018 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-01 9,0565 9,0515 24,03 24,03 217,627695 217,507545 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-02 9,0645 9,0595 24,05 24,05 218,001225 217,880975 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-03 9,0675 9,0625 24,15 24,15 218,980125 218,859375 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-04 9,0415 9,0365 24,19 24,19 218,713885 218,592935 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-07 9,0425 9,0375 24,26 24,26 219,37105 219,24975 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-08 9,0345 9,0295 24,23 24,23 218,905935 218,784785 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-09 9,0365 9,0315 24,22 24,22 218,86403 218,74293 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-10 9,0655 9,0605 23,9 23,9 216,66545 216,54595 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-11 9,0795 9,0745 23,95 23,95 217,454025 217,334275 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-14 9,0695 9,0645 23,85 23,85 216,307575 216,188325 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-15 9,1035 9,0985 24,01 24,01 218,575035 218,454985 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-16 9,0975 9,0925 23,98 23,98 218,15805 218,03815 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-17 9,1045 9,0995 23,74 23,74 216,14083 216,02213 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-18 9,1035 9,0985 23,84 23,84 217,02744 216,90824 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-21 9,1265 9,1215 23,78 23,78 217,02817 216,90927 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-22 9,1265 9,1215 23,65 23,65 215,841725 215,723475 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-23 9,1165 9,1115 23,67 23,67 215,787555 215,669205 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-24 9,1135 9,1085 23,87 23,87 217,539245 217,419895 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-29 9,1315 9,1265 23,84 23,84 217,69496 217,57576 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-30 9,1425 9,1375 23,9 23,9 218,50575 218,38625 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-03-31 9,1405 9,1355 23,97 23,97 219,097785 218,977935 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-01 9,1645 9,1595 24 24 219,948 219,828 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-04 9,1695 9,1645 23,79 23,79 218,142405 218,023455 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-05 9,1745 9,1695 24,05 24,05 220,646725 220,526475 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-06 9,1705 9,1655 24,14 24,14 221,37587 221,25517 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-07 9,1505 9,1455 24,21 24,21 221,533605 221,412555 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-08 9,1625 9,1575 24,31 24,31 222,740375 222,618825 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-11 9,1705 9,1655 24,23 24,23 222,201215 222,080065 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-12 9,1525 9,1475 24,19 24,19 221,398975 221,278025 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-13 9,1495 9,1445 24,26 24,26 221,96687 221,84557 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-14 9,1685 9,1635 24,26 24,26 222,42781 222,30651 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-15 9,1925 9,1875 24,03 24,03 220,895775 220,775625 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-18 9,1805 9,1755 23,53 23,53 216,017165 215,899515 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-19 9,2035 9,1985 23,65 23,65 217,662775 217,544525 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-20 9,1915 9,1865 23,64 23,64 217,28706 217,16886 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-21 9,1855 9,1805 23,54 23,54 216,22667 216,10897 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-22 9,1625 9,1575 23,65 23,65 216,693125 216,574875 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-25 9,1685 9,1635 23,64 23,64 216,74334 216,62514 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-26 9,1375 9,1325 23,59 23,59 215,553625 215,435675 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-27 9,1465 9,1415 23,42 23,42 214,21103 214,09393 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-28 9,1505 9,1455 23,42 23,42 214,30471 214,18761 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-04-29 9,1705 9,1655 23,48 23,48 215,32334 215,20594 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-02 9,1935 9,1885 23,57 23,57 216,690795 216,572945 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-03 9,2245 9,2195 23,62 23,62 217,88269 217,76459 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-04 9,1915 9,1865 23,63 23,63 217,195145 217,076995 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-06 9,1715 9,1665 23,85 23,85 218,740275 218,621025 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-09 9,1815 9,1765 23,89 23,89 219,346035 219,226585 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-10 9,1985 9,1935 23,82 23,82 219,10827 218,98917 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-11 9,2105 9,2055 23,71 23,71 218,380955 218,262405 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-12 9,2315 9,2265 23,8 23,8 219,7097 219,5907 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-13 9,2045 9,1995 23,75 23,75 218,606875 218,488125 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-17 9,2325 9,2275 23,7 23,7 218,81025 218,69175 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-18 9,2095 9,2045 23,86 23,86 219,73867 219,61937 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-19 9,1905 9,1855 24,04 24,04 220,93962 220,81942 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-20 9,1955 9,1905 24,09 24,09 221,519595 221,399145 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-23 9,1805 9,1755 24,16 24,16 221,80088 221,68008 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-24 9,1815 9,1765 24,15 24,15 221,733225 221,612475 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-25 9,1785 9,1735 24,17 24,17 221,844345 221,723495 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-26 9,1945 9,1895 24,3 24,3 223,42635 223,30485 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-27 9,1955 9,1905 24,26 24,26 223,08283 222,96153 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-30 9,1905 9,1855 24,34 24,34 223,69677 223,57507 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-05-31 9,1665 9,1615 24,42 24,42 223,84593 223,72383 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-01 9,1455 9,1405 24,51 24,51 224,156205 224,033655 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-02 9,1565 9,1515 24,71 24,71 226,257115 226,133565 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-03 9,1315 9,1265 24,72 24,72 225,73068 225,60708 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-07 9,1455 9,1405 24,71 24,71 225,985305 225,861755 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-08 9,1455 9,1405 24,81 24,81 226,899855 226,775805 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-09 9,1965 9,1915 24,71 24,71 227,245515 227,121965 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-10 9,1975 9,1925 24,93 24,93 229,293675 229,169025 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-13 9,2365 9,2315 24,92 24,92 230,17358 230,04898 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-14 9,2985 9,2935 24,93 24,93 231,811605 231,686955 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-15 9,2695 9,2645 25,03 25,03 232,015585 231,890435 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-16 9,2695 9,2645 25,03 25,03 232,015585 231,890435 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-17 9,2695 9,2645 25,08 25,08 232,47906 232,35366 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-20 9,2255 9,2205 24,9 24,9 229,71495 229,59045 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-21 9,2725 9,2675 25,06 25,06 232,36885 232,24355 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-22 9,2615 9,2565 25,19 25,19 233,297185 233,171235 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-27 9,3855 9,3805 24,78 24,78 232,57269 232,44879 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-28 9,3995 9,3945 24,91 24,91 234,141545 234,016995 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-29 9,4215 9,4165 25,09 25,09 236,385435 236,259985 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-06-30 9,4415 9,4365 25,18 25,18 237,73697 237,61107 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-01 9,4595 9,4545 25,19 25,19 238,284805 238,158855 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-04 9,4795 9,4745 25,31 25,31 239,926145 239,799595 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-05 9,4575 9,4525 25,25 25,25 238,801875 238,675625 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-06 9,4195 9,4145 25,46 25,46 239,82047 239,69317 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-07 9,3965 9,3915 24,59 24,59 231,059935 230,936985 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-08 9,4175 9,4125 25,25 25,25 237,791875 237,665625 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-11 9,4665 9,4615 25,41 25,41 240,543765 240,416715 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-12 9,4645 9,4595 25,35 25,35 239,925075 239,798325 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-13 9,3915 9,3865 25,38 25,38 238,35627 238,22937 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-14 9,3675 9,3625 25,59 25,59 239,714325 239,586375 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-15 9,4055 9,4005 25,54 25,54 240,21647 240,08877 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-18 9,3895 9,3845 25,49 25,49 239,338355 239,210905 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-19 9,4425 9,4375 25,49 25,49 240,689325 240,561875 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-20 9,4265 9,4215 25,52 25,52 240,56428 240,43668 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-21 9,4625 9,4575 25,52 25,52 241,483 241,3554 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-22 9,4495 9,4445 25,34 25,34 239,45033 239,32363 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-25 9,4275 9,4225 25,45 25,45 239,929875 239,802625 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-26 9,4155 9,4105 25,63 25,63 241,319265 241,191115 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-27 9,4725 9,4675 25,68 25,68 243,2538 243,1254 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-28 9,4515 9,4465 25,8 25,8 243,8487 243,7197 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-07-29 9,3885 9,3835 25,94 25,94 243,53769 243,40799 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-01 9,3985 9,3935 25,87 25,87 243,139195 243,009845 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-02 9,3995 9,3945 26 26 244,387 244,257 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-03 9,3755 9,3705 25,99 25,99 243,669245 243,539295 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-04 9,3735 9,3685 25,83 25,83 242,117505 241,988355 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-05 9,3355 9,3305 25,79 25,79 240,762545 240,633595 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-08 9,3335 9,3285 25,85 25,85 241,270975 241,141725 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-09 9,3455 9,3405 25,81 25,81 241,207355 241,078305 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-10 9,3535 9,3485 26,09 26,09 244,032815 243,902365 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-11 9,3365 9,3315 26,05 26,05 243,215825 243,085575 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-12 9,3025 9,2975 25,99 25,99 241,771975 241,642025 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-16 9,2995 9,2945 26,11 26,11 242,809945 242,679395 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-17 9,3405 9,3355 25,89 25,89 241,825545 241,696095 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-18 9,3365 9,3315 25,86 25,86 241,44189 241,31259 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-19 9,3395 9,3345 25,98 25,98 242,64021 242,51031 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-22 9,3655 9,3605 26,11 26,11 244,533205 244,402655 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-23 9,3715 9,3665 25,91 25,91 242,815565 242,686015 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-24 9,3365 9,3315 25,77 25,77 240,601605 240,472755 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-25 9,3335 9,3285 25,57 25,57 238,657595 238,529745 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-26 9,3415 9,3365 25,65 25,65 239,609475 239,481225 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-29 9,3295 9,3245 25,38 25,38 236,78271 236,65581 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-30 9,3285 9,3235 25,53 25,53 238,156605 238,028955 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-08-31 9,3585 9,3535 25,56 25,56 239,20326 239,07546 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-01 9,3365 9,3315 25,8 25,8 240,8817 240,7527 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-02 9,3025 9,2975 25,75 25,75 239,539375 239,410625 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-05 9,2845 9,2795 25,86 25,86 240,09717 239,96787 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-06 9,3225 9,3175 26 26 242,385 242,255 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-07 9,3075 9,3025 26,13 26,13 243,204975 243,074325 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-08 9,3255 9,3205 26,16 26,16 243,95508 243,82428 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-09 9,3445 9,3395 26,15 26,15 244,358675 244,227925 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-12 9,3015 9,2965 26,22 26,22 243,88533 243,75423 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-13 9,3015 9,2965 26,1 26,1 242,76915 242,63865 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-14 9,3365 9,3315 26,13 26,13 243,962745 243,832095 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-15 9,3425 9,3375 26,21 26,21 244,866925 244,735875 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-16 9,3465 9,3415 26,34 26,34 246,18681 246,05511 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-19 9,3355 9,3305 26,38 26,38 246,27049 246,13859 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-20 9,3395 9,3345 26,4 26,4 246,5628 246,4308 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-21 9,3405 9,3355 26,15 26,15 244,254075 244,123325 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-22 9,3405 9,3355 25,91 25,91 242,012355 241,882805 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-23 9,3695 9,3645 26,05 26,05 244,075475 243,945225 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-26 9,3815 9,3765 26,38 26,38 247,48397 247,35207 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-27 9,3885 9,3835 26,4 26,4 247,8564 247,7244 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-28 9,3935 9,3885 26,52 26,52 249,11562 248,98302 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-29 9,3845 9,3795 26,5 26,5 248,68925 248,55675 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-09-30 9,3435 9,3385 26,56 26,56 248,16336 248,03056 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-03 9,3025 9,2975 26,77 26,77 249,027925 248,894075 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-04 9,3185 9,3135 26,83 26,83 250,015355 249,881205 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-05 9,3105 9,3055 26,79 26,79 249,428295 249,294345 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-06 9,3015 9,2965 26,41 26,41 245,652615 245,520565 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-07 9,3385 9,3335 26,29 26,29 245,509165 245,377715 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-10 9,3465 9,3415 26,39 26,39 246,654135 246,522185 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-11 9,3395 9,3345 26,45 26,45 247,029775 246,897525 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-12 9,3375 9,3325 26,24 26,24 245,016 244,8848 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-13 9,3815 9,3765 26 26 243,919 243,789 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-14 9,4135 9,4085 25,95 25,95 244,280325 244,150575 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-17 9,4575 9,4525 25,99 25,99 245,800425 245,670475 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-18 9,4625 9,4575 26,05 26,05 246,498125 246,367875 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-19 9,4605 9,4555 25,6 25,6 242,1888 242,0608 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-20 9,4935 9,4885 25,83 25,83 245,217105 245,087955 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-21 9,4915 9,4865 25,59 25,59 242,887485 242,759535 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-24 9,5455 9,5405 25,76 25,76 245,89208 245,76328 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-25 9,5465 9,5415 25,8 25,8 246,2997 246,1707 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-26 9,4975 9,4925 25,71 25,71 244,180725 244,052175 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-27 9,5355 9,5305 25,54 25,54 243,53667 243,40897 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-28 9,5135 9,5085 25,48 25,48 242,40398 242,27658 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-10-31 9,5495 9,5445 25,86 25,86 246,95007 246,82077 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-02 9,5855 9,5805 25,99 25,99 249,127145 248,997195 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-03 9,6515 9,6465 26,36 26,36 254,41354 254,28174 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-04 9,5875 9,5825 26,39 26,39 253,014125 252,882175 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-07 9,6075 9,6025 26,49 26,49 254,502675 254,370225 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-08 9,5685 9,5635 26,51 26,51 253,660935 253,528385 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-09 9,5575 9,5525 26,47 26,47 252,987025 252,854675 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-10 9,6105 9,6055 26,59 26,59 255,543195 255,410245 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-11 9,6365 9,6315 26,73 26,73 257,583645 257,449995 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-14 9,5505 9,5455 26,78 26,78 255,76239 255,62849 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-15 9,5805 9,5755 26,54 26,54 254,26647 254,13377 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-16 9,6235 9,6185 26,43 26,43 254,349105 254,216955 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-17 9,6355 9,6305 26,53 26,53 255,629815 255,497165 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-18 9,6085 9,6035 26,67 26,67 256,258695 256,125345 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-21 9,5915 9,5865 26,56 26,56 254,75024 254,61744 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-22 9,5585 9,5535 26,63 26,63 254,542855 254,409705 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-23 9,5155 9,5105 26,74 26,74 254,44447 254,31077 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-24 9,5125 9,5075 26,68 26,68 253,7935 253,6601 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-25 9,4965 9,4915 26,8 26,8 254,5062 254,3722 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-28 9,4835 9,4785 26,77 26,77 253,873295 253,739445 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-29 9,4785 9,4735 26,8 26,8 254,0238 253,8898 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-11-30 9,5295 9,5245 26,7 26,7 254,43765 254,30415 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-01 9,5165 9,5115 26,94 26,94 256,37451 256,23981 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-02 9,4905 9,4855 27,1 27,1 257,19255 257,05705 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-05 9,4065 9,4015 27,1 27,1 254,91615 254,78065 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-06 9,4185 9,4135 27,12 27,12 255,42972 255,29412 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-07 9,4255 9,4205 27,17 27,17 256,090835 255,954985 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-08 9,3965 9,3915 26,99 26,99 253,611535 253,476585 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-12 9,4315 9,4265 27,17 27,17 256,253855 256,118005 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-13 9,4295 9,4245 27,1 27,1 255,53945 255,40395 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-14 9,4365 9,4315 27,05 27,05 255,257325 255,122075 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-15 9,4345 9,4295 26,93 26,93 254,071085 253,936435 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-16 9,4765 9,4715 27,02 27,02 256,05503 255,91993 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-19 9,4535 9,4485 27 27 255,2445 255,1095 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-20 9,4015 9,3965 26,98 26,98 253,65247 253,51757 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-21 9,4485 9,4435 27,14 27,14 256,43229 256,29659 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-22 9,4365 9,4315 27,18 27,18 256,48407 256,34817 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-23 9,4425 9,4375 27,18 27,18 256,64715 256,51125 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-27 9,4915 9,4865 27,25 27,25 258,643375 258,507125 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-28 9,4345 9,4295 27,21 27,21 256,712745 256,576695 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-29 9,4115 9,4065 27,3 27,3 256,93395 256,79745 317404 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Equity Fund EUR 2005-12-30 9,4325 9,4275 27,17 27,17 256,281025 256,145175 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-03 9,0065 9,0015 19,78 19,78 178,14857 178,04967 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-04 9,0345 9,0295 19,71 19,71 178,069995 177,971445 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-05 9,0615 9,0565 19,52 19,52 176,88048 176,78288 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-07 9,0615 9,0565 19,57 19,57 177,333555 177,235705 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-10 9,08619 9,08119 19,73 19,73 179,2705287 179,1718787 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-11 9,08619 9,08119 19,79 19,79 179,8157001 179,7167501 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-12 9,0455 9,0405 19,96 19,96 180,54818 180,44838 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-13 9,0505 9,0455 19,98 19,98 180,82899 180,72909 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-14 9,0455 9,0405 20,07 20,07 181,543185 181,442835 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-17 9,0685 9,0635 20,16 20,16 182,82096 182,72016 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-18 9,0585 9,0535 20,26 20,26 183,52521 183,42391 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-19 9,0225 9,0175 20,34 20,34 183,51765 183,41595 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-20 9,0315 9,0265 20,3 20,3 183,33945 183,23795 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-21 9,0505 9,0455 20,34 20,34 184,08717 183,98547 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-24 9,0655 9,0605 20,26 20,26 183,66703 183,56573 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-25 9,0715 9,0665 20,3 20,3 184,15145 184,04995 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-26 9,0885 9,0835 20,42 20,42 185,58717 185,48507 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-27 9,0675 9,0625 20,47 20,47 185,611725 185,509375 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-28 9,0955 9,0905 20,44 20,44 185,91202 185,80982 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-01-31 9,1075 9,1025 20,32 20,32 185,0644 184,9628 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-01 9,1035 9,0985 20,34 20,34 185,16519 185,06349 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-02 9,0905 9,0855 20,51 20,51 186,446155 186,343605 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-03 9,0695 9,0645 20,63 20,63 187,103785 187,000635 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-04 9,0895 9,0845 20,63 20,63 187,516385 187,413235 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-07 9,0755 9,0705 20,75 20,75 188,316625 188,212875 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-08 9,0895 9,0845 20,86 20,86 189,60697 189,50267 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-09 9,0695 9,0645 20,96 20,96 190,09672 189,99192 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-10 9,0805 9,0755 20,94 20,94 190,14567 190,04097 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-11 9,0935 9,0885 20,96 20,96 190,59976 190,49496 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-14 9,1105 9,1055 21,16 21,16 192,77818 192,67238 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-15 9,0765 9,0715 21,22 21,22 192,60333 192,49723 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-16 9,0705 9,0655 21,19 21,19 192,203895 192,097945 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-17 9,0925 9,0875 21,18 21,18 192,57915 192,47325 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-18 9,0945 9,0895 21,24 21,24 193,16718 193,06098 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-21 9,1185 9,1135 21,24 21,24 193,67694 193,57074 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-22 9,0975 9,0925 20,51 20,51 186,589725 186,487175 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-23 9,1045 9,0995 20,43 20,43 186,004935 185,902785 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-24 9,0715 9,0665 20,48 20,48 185,78432 185,68192 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-25 9,0845 9,0795 20,42 20,42 185,50549 185,40339 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-02-28 9,0505 9,0455 20,61 20,61 186,530805 186,427755 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-01 9,0565 9,0515 20,52 20,52 185,83938 185,73678 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-02 9,0645 9,0595 20,53 20,53 186,094185 185,991535 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-03 9,0675 9,0625 20,52 20,52 186,0651 185,9625 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-04 9,0415 9,0365 20,43 20,43 184,717845 184,615695 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-07 9,0425 9,0375 20,67 20,67 186,908475 186,805125 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-08 9,0345 9,0295 20,61 20,61 186,201045 186,097995 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-09 9,0365 9,0315 20,56 20,56 185,79044 185,68764 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-10 9,0655 9,0605 20,23 20,23 183,395065 183,293915 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-11 9,0795 9,0745 20,21 20,21 183,496695 183,395645 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-14 9,0695 9,0645 20,13 20,13 182,569035 182,468385 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-15 9,1035 9,0985 20,26 20,26 184,43691 184,33561 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-16 9,0975 9,0925 20,39 20,39 185,498025 185,396075 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-17 9,1045 9,0995 19,92 19,92 181,36164 181,26204 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-18 9,1035 9,0985 20,01 20,01 182,161035 182,060985 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-21 9,1265 9,1215 20,04 20,04 182,89506 182,79486 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-22 9,1265 9,1215 19,96 19,96 182,16494 182,06514 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-23 9,1165 9,1115 19,82 19,82 180,68903 180,58993 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-24 9,1135 9,1085 19,75 19,75 179,991625 179,892875 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-29 9,1315 9,1265 19,88 19,88 181,53422 181,43482 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-30 9,1425 9,1375 19,9 19,9 181,93575 181,83625 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-03-31 9,1405 9,1355 20,03 20,03 183,084215 182,984065 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-01 9,1645 9,1595 20,1 20,1 184,20645 184,10595 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-04 9,1695 9,1645 20,04 20,04 183,75678 183,65658 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-05 9,1745 9,1695 20,17 20,17 185,049665 184,948815 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-06 9,1705 9,1655 20,28 20,28 185,97774 185,87634 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-07 9,1505 9,1455 20,31 20,31 185,846655 185,745105 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-08 9,1625 9,1575 20,44 20,44 187,2815 187,1793 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-11 9,1705 9,1655 20,5 20,5 187,99525 187,89275 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-12 9,1525 9,1475 20,55 20,55 188,083875 187,981125 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-13 9,1495 9,1445 20,66 20,66 189,02867 188,92537 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-14 9,1685 9,1635 20,64 20,64 189,23784 189,13464 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-15 9,1925 9,1875 20,45 20,45 187,986625 187,884375 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-18 9,1805 9,1755 20,17 20,17 185,170685 185,069835 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-19 9,2035 9,1985 20,39 20,39 187,659365 187,557415 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-20 9,1915 9,1865 20,52 20,52 188,60958 188,50698 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-21 9,1855 9,1805 20,41 20,41 187,476055 187,374005 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-22 9,1625 9,1575 20,45 20,45 187,373125 187,270875 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-25 9,1685 9,1635 20,49 20,49 187,862565 187,760115 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-26 9,1375 9,1325 20,56 20,56 187,867 187,7642 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-27 9,1465 9,1415 20,44 20,44 186,95446 186,85226 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-28 9,1505 9,1455 20,39 20,39 186,578695 186,476745 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-04-29 9,1705 9,1655 20,47 20,47 187,720135 187,617785 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-02 9,1935 9,1885 20,63 20,63 189,661905 189,558755 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-03 9,2245 9,2195 20,74 20,74 191,31613 191,21243 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-04 9,1915 9,1865 20,64 20,64 189,71256 189,60936 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-06 9,1715 9,1665 20,64 20,64 189,29976 189,19656 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-09 9,1815 9,1765 20,72 20,72 190,24068 190,13708 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-10 9,1985 9,1935 20,67 20,67 190,132995 190,029645 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-11 9,2105 9,2055 20,65 20,65 190,196825 190,093575 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-12 9,2315 9,2265 20,88 20,88 192,75372 192,64932 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-13 9,2045 9,1995 21,01 21,01 193,386545 193,281495 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-17 9,2325 9,2275 21,07 21,07 194,528775 194,423425 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-18 9,2095 9,2045 21,02 21,02 193,58369 193,47859 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-19 9,1905 9,1855 21,05 21,05 193,460025 193,354775 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-20 9,1955 9,1905 21,3 21,3 195,86415 195,75765 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-23 9,1805 9,1755 21,36 21,36 196,09548 195,98868 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-24 9,1815 9,1765 21,4 21,4 196,4841 196,3771 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-25 9,1785 9,1735 21,57 21,57 197,980245 197,872395 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-26 9,1945 9,1895 21,77 21,77 200,164265 200,055415 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-27 9,1955 9,1905 21,68 21,68 199,35844 199,25004 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-30 9,1905 9,1855 21,74 21,74 199,80147 199,69277 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-05-31 9,1665 9,1615 21,97 21,97 201,388005 201,278155 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-01 9,1455 9,1405 22,01 22,01 201,292455 201,182405 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-02 9,1565 9,1515 22,12 22,12 202,54178 202,43118 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-03 9,1315 9,1265 22,19 22,19 202,627985 202,517035 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-07 9,1455 9,1405 22,44 22,44 205,22502 205,11282 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-08 9,1455 9,1405 22,49 22,49 205,682295 205,569845 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-09 9,1965 9,1915 22,43 22,43 206,277495 206,165345 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-10 9,1975 9,1925 22,48 22,48 206,7598 206,6474 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-13 9,2365 9,2315 22,57 22,57 208,467805 208,354955 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-14 9,2985 9,2935 22,68 22,68 210,88998 210,77658 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-15 9,2695 9,2645 22,73 22,73 210,695735 210,582085 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-16 9,2695 9,2645 22,52 22,52 208,74914 208,63654 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-17 9,2695 9,2645 22,66 22,66 210,04687 209,93357 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-20 9,2255 9,2205 22,74 22,74 209,78787 209,67417 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-21 9,2725 9,2675 22,8 22,8 211,413 211,299 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-22 9,2615 9,2565 22,99 22,99 212,921885 212,806935 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-27 9,3855 9,3805 22,79 22,79 213,895545 213,781595 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-28 9,3995 9,3945 22,73 22,73 213,650635 213,536985 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-29 9,4215 9,4165 22,74 22,74 214,24491 214,13121 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-06-30 9,4415 9,4365 22,66 22,66 213,94439 213,83109 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-01 9,4595 9,4545 22,59 22,59 213,690105 213,577155 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-04 9,4795 9,4745 22,63 22,63 214,521085 214,407935 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-05 9,4575 9,4525 22,65 22,65 214,212375 214,099125 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-06 9,4195 9,4145 22,84 22,84 215,14138 215,02718 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-07 9,3965 9,3915 21,95 21,95 206,253175 206,143425 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-08 9,4175 9,4125 22,67 22,67 213,494725 213,381375 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-11 9,4665 9,4615 22,71 22,71 214,984215 214,870665 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-12 9,4645 9,4595 22,83 22,83 216,074535 215,960385 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-13 9,3915 9,3865 22,83 22,83 214,407945 214,293795 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-14 9,3675 9,3625 22,9 22,9 214,51575 214,40125 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-15 9,4055 9,4005 22,72 22,72 213,69296 213,57936 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-18 9,3895 9,3845 22,61 22,61 212,296595 212,183545 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-19 9,4425 9,4375 22,55 22,55 212,928375 212,815625 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-20 9,4265 9,4215 22,52 22,52 212,28478 212,17218 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-21 9,4625 9,4575 22,48 22,48 212,717 212,6046 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-22 9,4495 9,4445 22,56 22,56 213,18072 213,06792 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-25 9,4275 9,4225 22,59 22,59 212,967225 212,854275 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-26 9,4155 9,4105 22,69 22,69 213,637695 213,524245 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-27 9,4725 9,4675 22,78 22,78 215,78355 215,66965 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-28 9,4515 9,4465 22,8 22,8 215,4942 215,3802 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-07-29 9,3885 9,3835 22,73 22,73 213,400605 213,286955 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-01 9,3985 9,3935 22,82 22,82 214,47377 214,35967 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-02 9,3995 9,3945 22,97 22,97 215,906515 215,791665 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-03 9,3755 9,3705 22,95 22,95 215,167725 215,052975 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-04 9,3735 9,3685 23,04 23,04 215,96544 215,85024 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-05 9,3355 9,3305 23,02 23,02 214,90321 214,78811 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-08 9,3335 9,3285 23,14 23,14 215,97719 215,86149 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-09 9,3455 9,3405 22,95 22,95 214,479225 214,364475 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-10 9,3535 9,3485 23,21 23,21 217,094735 216,978685 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-11 9,3365 9,3315 23,07 23,07 215,393055 215,277705 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-12 9,3025 9,2975 22,93 22,93 213,306325 213,191675 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-16 9,2995 9,2945 23,02 23,02 214,07449 213,95939 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-17 9,3405 9,3355 22,93 22,93 214,177665 214,063015 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-18 9,3365 9,3315 22,95 22,95 214,272675 214,157925 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-19 9,3395 9,3345 22,9 22,9 213,87455 213,76005 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-22 9,3655 9,3605 22,92 22,92 214,65726 214,54266 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-23 9,3715 9,3665 22,96 22,96 215,16964 215,05484 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-24 9,3365 9,3315 22,92 22,92 213,99258 213,87798 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-25 9,3335 9,3285 22,72 22,72 212,05712 211,94352 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-26 9,3415 9,3365 22,88 22,88 213,73352 213,61912 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-29 9,3295 9,3245 22,77 22,77 212,432715 212,318865 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-30 9,3285 9,3235 22,83 22,83 212,969655 212,855505 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-08-31 9,3585 9,3535 22,92 22,92 214,49682 214,38222 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-01 9,3365 9,3315 23,05 23,05 215,206325 215,091075 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-02 9,3025 9,2975 23,2 23,2 215,818 215,702 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-05 9,2845 9,2795 23,43 23,43 217,535835 217,418685 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-06 9,3225 9,3175 23,37 23,37 217,866825 217,749975 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-07 9,3075 9,3025 23,53 23,53 219,005475 218,887825 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-08 9,3255 9,3205 23,55 23,55 219,615525 219,497775 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-09 9,3445 9,3395 23,56 23,56 220,15642 220,03862 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-12 9,3015 9,2965 23,49 23,49 218,492235 218,374785 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-13 9,3015 9,2965 23,38 23,38 217,46907 217,35217 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-14 9,3365 9,3315 23,42 23,42 218,66083 218,54373 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-15 9,3425 9,3375 23,45 23,45 219,081625 218,964375 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-16 9,3465 9,3415 23,48 23,48 219,45582 219,33842 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-19 9,3355 9,3305 23,57 23,57 220,037735 219,919885 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-20 9,3395 9,3345 23,64 23,64 220,78578 220,66758 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-21 9,3405 9,3355 23,6 23,6 220,4358 220,3178 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-22 9,3405 9,3355 23,33 23,33 217,913865 217,797215 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-23 9,3695 9,3645 23,42 23,42 219,43369 219,31659 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-26 9,3815 9,3765 23,53 23,53 220,746695 220,629045 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-27 9,3885 9,3835 23,49 23,49 220,535865 220,418415 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-28 9,3935 9,3885 23,46 23,46 220,37151 220,25421 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-29 9,3845 9,3795 23,51 23,51 220,629595 220,512045 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-09-30 9,3435 9,3385 23,65 23,65 220,973775 220,855525 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-03 9,3025 9,2975 23,86 23,86 221,95765 221,83835 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-04 9,3185 9,3135 23,73 23,73 221,128005 221,009355 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-05 9,3105 9,3055 23,7 23,7 220,65885 220,54035 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-06 9,3015 9,2965 23,41 23,41 217,748115 217,631065 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-07 9,3385 9,3335 23,22 23,22 216,83997 216,72387 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-10 9,3465 9,3415 23,12 23,12 216,09108 215,97548 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-11 9,3395 9,3345 23,2 23,2 216,6764 216,5604 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-12 9,3375 9,3325 23,11 23,11 215,789625 215,674075 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-13 9,3815 9,3765 22,94 22,94 215,21161 215,09691 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-14 9,4135 9,4085 22,43 22,43 211,144805 211,032655 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-17 9,4575 9,4525 22,28 22,28 210,7131 210,6017 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-18 9,4625 9,4575 22,43 22,43 212,243875 212,131725 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-19 9,4605 9,4555 22,24 22,24 210,40152 210,29032 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-20 9,4935 9,4885 22,38 22,38 212,46453 212,35263 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-21 9,4915 9,4865 22,19 22,19 210,616385 210,505435 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-24 9,5455 9,5405 22,46 22,46 214,39193 214,27963 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-25 9,5465 9,5415 22,55 22,55 215,273575 215,160825 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-26 9,4975 9,4925 22,35 22,35 212,269125 212,157375 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-27 9,5355 9,5305 22,24 22,24 212,06952 211,95832 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-28 9,5135 9,5085 22,12 22,12 210,43862 210,32802 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-10-31 9,5495 9,5445 22,4 22,4 213,9088 213,7968 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-02 9,5855 9,5805 22,67 22,67 217,303285 217,189935 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-03 9,6515 9,6465 23 23 221,9845 221,8695 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-04 9,5875 9,5825 23,24 23,24 222,8135 222,6973 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-07 9,6075 9,6025 23,49 23,49 225,680175 225,562725 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-08 9,5685 9,5635 23,58 23,58 225,62523 225,50733 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-09 9,5575 9,5525 23,39 23,39 223,549925 223,432975 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-10 9,6105 9,6055 23,65 23,65 227,288325 227,170075 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-11 9,6365 9,6315 23,87 23,87 230,023255 229,903905 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-14 9,5505 9,5455 23,8 23,8 227,3019 227,1829 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-15 9,5805 9,5755 23,72 23,72 227,24946 227,13086 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-16 9,6235 9,6185 23,84 23,84 229,42424 229,30504 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-17 9,6355 9,6305 23,84 23,84 229,71032 229,59112 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-18 9,6085 9,6035 23,88 23,88 229,45098 229,33158 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-21 9,5915 9,5865 23,66 23,66 226,93489 226,81659 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-22 9,5585 9,5535 23,78 23,78 227,30113 227,18223 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-23 9,5155 9,5105 23,82 23,82 226,65921 226,54011 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-24 9,5125 9,5075 23,6 23,6 224,495 224,377 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-25 9,4965 9,4915 23,78 23,78 225,82677 225,70787 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-28 9,4835 9,4785 23,61 23,61 223,905435 223,787385 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-29 9,4785 9,4735 23,58 23,58 223,50303 223,38513 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-11-30 9,5295 9,5245 23,41 23,41 223,085595 222,968545 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-01 9,5165 9,5115 23,56 23,56 224,20874 224,09094 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-02 9,4905 9,4855 23,69 23,69 224,829945 224,711495 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-05 9,4065 9,4015 23,79 23,79 223,780635 223,661685 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-06 9,4185 9,4135 23,73 23,73 223,501005 223,382355 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-07 9,4255 9,4205 23,85 23,85 224,798175 224,678925 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-08 9,3965 9,3915 23,73 23,73 222,978945 222,860295 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-12 9,4315 9,4265 23,64 23,64 222,96066 222,84246 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-13 9,4295 9,4245 23,65 23,65 223,007675 222,889425 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-14 9,4365 9,4315 23,75 23,75 224,116875 223,998125 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-15 9,4345 9,4295 24,07 24,07 227,088415 226,968065 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-16 9,4765 9,4715 24,18 24,18 229,14177 229,02087 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-19 9,4535 9,4485 24,13 24,13 228,112955 227,992305 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-20 9,4015 9,3965 24,13 24,13 226,858195 226,737545 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-21 9,4485 9,4435 24,07 24,07 227,425395 227,305045 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-22 9,4365 9,4315 24,13 24,13 227,702745 227,582095 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-23 9,4425 9,4375 24,2 24,2 228,5085 228,3875 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-27 9,4915 9,4865 24,18 24,18 229,50447 229,38357 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-28 9,4345 9,4295 24,12 24,12 227,56014 227,43954 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-29 9,4115 9,4065 24,2 24,2 227,7583 227,6373 353235 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Property Fund EUR 2005-12-30 9,4325 9,4275 24,34 24,34 229,58705 229,46535 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-03 9,0065 9,0015 30,86 30,86 277,94059 277,78629 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-04 9,0345 9,0295 30,93 30,93 279,437085 279,282435 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-05 9,0615 9,0565 30,77 30,77 278,822355 278,668505 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-07 9,0615 9,0565 30,95 30,95 280,453425 280,298675 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-10 9,08619 9,08119 31,16 31,16 283,1256804 282,9698804 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-11 9,08619 9,08119 31,13 31,13 282,8530947 282,6974447 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-12 9,0455 9,0405 31,21 31,21 282,310055 282,154005 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-13 9,0505 9,0455 31,26 31,26 282,91863 282,76233 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-14 9,0455 9,0405 31,49 31,49 284,842795 284,685345 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-17 9,0685 9,0635 31,6 31,6 286,5646 286,4066 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-18 9,0585 9,0535 31,66 31,66 286,79211 286,63381 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-19 9,0225 9,0175 31,9 31,9 287,81775 287,65825 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-20 9,0315 9,0265 31,87 31,87 287,833905 287,674555 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-21 9,0505 9,0455 31,83 31,83 288,077415 287,918265 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-24 9,0655 9,0605 31,89 31,89 289,098795 288,939345 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-25 9,0715 9,0665 31,88 31,88 289,19942 289,04002 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-26 9,0885 9,0835 32,12 32,12 291,92262 291,76202 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-27 9,0675 9,0625 32,03 32,03 290,432025 290,271875 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-28 9,0955 9,0905 32,01 32,01 291,146955 290,986905 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-01-31 9,1075 9,1025 32,09 32,09 292,259675 292,099225 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-01 9,1035 9,0985 32,3 32,3 294,04305 293,88155 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-02 9,0905 9,0855 32,46 32,46 295,07763 294,91533 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-03 9,0695 9,0645 32,71 32,71 296,663345 296,499795 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-04 9,0895 9,0845 32,81 32,81 298,226495 298,062445 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-07 9,0755 9,0705 33,01 33,01 299,582255 299,417205 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-08 9,0895 9,0845 33,11 33,11 300,953345 300,787795 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-09 9,0695 9,0645 33,04 33,04 299,65628 299,49108 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-10 9,0805 9,0755 32,98 32,98 299,47489 299,30999 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-11 9,0935 9,0885 32,98 32,98 299,90363 299,73873 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-14 9,1105 9,1055 33,14 33,14 301,92197 301,75627 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-15 9,0765 9,0715 33,11 33,11 300,522915 300,357365 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-16 9,0705 9,0655 33,07 33,07 299,961435 299,796085 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-17 9,0925 9,0875 33,13 33,13 301,234525 301,068875 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-18 9,0945 9,0895 33,3 33,3 302,84685 302,68035 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-21 9,1185 9,1135 33,29 33,29 303,554865 303,388415 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-22 9,0975 9,0925 32,9 32,9 299,30775 299,14325 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-23 9,1045 9,0995 32,64 32,64 297,17088 297,00768 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-24 9,0715 9,0665 32,8 32,8 297,5452 297,3812 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-25 9,0845 9,0795 33,03 33,03 300,061035 299,895885 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-02-28 9,0505 9,0455 33,1 33,1 299,57155 299,40605 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-01 9,0565 9,0515 33,1 33,1 299,77015 299,60465 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-02 9,0645 9,0595 33,21 33,21 301,032045 300,865995 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-03 9,0675 9,0625 33,26 33,26 301,58505 301,41875 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-04 9,0415 9,0365 33,26 33,26 300,72029 300,55399 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-07 9,0425 9,0375 33,37 33,37 301,748225 301,581375 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-08 9,0345 9,0295 33,39 33,39 301,661955 301,495005 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-09 9,0365 9,0315 33,48 33,48 302,54202 302,37462 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-10 9,0655 9,0605 33,24 33,24 301,33722 301,17102 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-11 9,0795 9,0745 33,27 33,27 302,074965 301,908615 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-14 9,0695 9,0645 33,27 33,27 301,742265 301,575915 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-15 9,1035 9,0985 33,3 33,3 303,14655 302,98005 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-16 9,0975 9,0925 33,23 33,23 302,309925 302,143775 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-17 9,1045 9,0995 33,03 33,03 300,721635 300,556485 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-18 9,1035 9,0985 32,99 32,99 300,324465 300,159515 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-21 9,1265 9,1215 32,97 32,97 300,900705 300,735855 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-22 9,1265 9,1215 32,76 32,76 298,98414 298,82034 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-23 9,1165 9,1115 32,49 32,49 296,195085 296,032635 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-24 9,1135 9,1085 32,57 32,57 296,826695 296,663845 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-29 9,1315 9,1265 32,55 32,55 297,230325 297,067575 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-30 9,1425 9,1375 32,59 32,59 297,954075 297,791125 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-03-31 9,1405 9,1355 32,81 32,81 299,899805 299,735755 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-01 9,1645 9,1595 33,01 33,01 302,520145 302,355095 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-04 9,1695 9,1645 32,88 32,88 301,49316 301,32876 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-05 9,1745 9,1695 33,04 33,04 303,12548 302,96028 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-06 9,1705 9,1655 33,18 33,18 304,27719 304,11129 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-07 9,1505 9,1455 33,24 33,24 304,16262 303,99642 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-08 9,1625 9,1575 33,31 33,31 305,202875 305,036325 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-11 9,1705 9,1655 33,3 33,3 305,37765 305,21115 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-12 9,1525 9,1475 33,37 33,37 305,418925 305,252075 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-13 9,1495 9,1445 33,52 33,52 306,69124 306,52364 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-14 9,1685 9,1635 33,44 33,44 306,59464 306,42744 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-15 9,1925 9,1875 33,06 33,06 303,90405 303,73875 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-18 9,1805 9,1755 32,26 32,26 296,16293 296,00163 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-19 9,2035 9,1985 32,57 32,57 299,757995 299,595145 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-20 9,1915 9,1865 32,8 32,8 301,4812 301,3172 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-21 9,1855 9,1805 32,58 32,58 299,26359 299,10069 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-22 9,1625 9,1575 32,72 32,72 299,797 299,6334 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-25 9,1685 9,1635 32,62 32,62 299,07647 298,91337 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-26 9,1375 9,1325 32,54 32,54 297,33425 297,17155 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-27 9,1465 9,1415 32,23 32,23 294,791695 294,630545 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-28 9,1505 9,1455 32,05 32,05 293,273525 293,113275 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-04-29 9,1705 9,1655 31,81 31,81 291,713605 291,554555 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-02 9,1935 9,1885 31,98 31,98 294,00813 293,84823 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-03 9,2245 9,2195 32,02 32,02 295,36849 295,20839 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-04 9,1915 9,1865 31,95 31,95 293,668425 293,508675 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-06 9,1715 9,1665 31,96 31,96 293,12114 292,96134 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-09 9,1815 9,1765 32,02 32,02 293,99163 293,83153 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-10 9,1985 9,1935 32,12 32,12 295,45582 295,29522 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-11 9,2105 9,2055 32,02 32,02 294,92021 294,76011 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-12 9,2315 9,2265 32,18 32,18 297,06967 296,90877 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-13 9,2045 9,1995 32,22 32,22 296,56899 296,40789 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-17 9,2325 9,2275 32,13 32,13 296,640225 296,479575 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-18 9,2095 9,2045 32,22 32,22 296,73009 296,56899 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-19 9,1905 9,1855 32,46 32,46 298,32363 298,16133 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-20 9,1955 9,1905 32,44 32,44 298,30202 298,13982 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-23 9,1805 9,1755 32,54 32,54 298,73347 298,57077 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-24 9,1815 9,1765 32,66 32,66 299,86779 299,70449 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-25 9,1785 9,1735 32,66 32,66 299,76981 299,60651 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-26 9,1945 9,1895 32,83 32,83 301,855435 301,691285 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-27 9,1955 9,1905 32,83 32,83 301,888265 301,724115 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-30 9,1905 9,1855 32,99 32,99 303,194595 303,029645 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-05-31 9,1665 9,1615 33,1 33,1 303,41115 303,24565 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-01 9,1455 9,1405 33,23 33,23 303,904965 303,738815 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-02 9,1565 9,1515 33,37 33,37 305,552405 305,385555 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-03 9,1315 9,1265 33,51 33,51 305,996565 305,829015 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-07 9,1455 9,1405 33,74 33,74 308,56917 308,40047 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-08 9,1455 9,1405 33,81 33,81 309,209355 309,040305 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-09 9,1965 9,1915 33,85 33,85 311,301525 311,132275 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-10 9,1975 9,1925 34,02 34,02 312,89895 312,72885 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-13 9,2365 9,2315 34,17 34,17 315,611205 315,440355 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-14 9,2985 9,2935 34,24 34,24 318,38064 318,20944 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-15 9,2695 9,2645 34,34 34,34 318,31463 318,14293 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-16 9,2695 9,2645 34,59 34,59 320,632005 320,459055 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-17 9,2695 9,2645 34,66 34,66 321,28087 321,10757 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-20 9,2255 9,2205 34,58 34,58 319,01779 318,84489 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-21 9,2725 9,2675 34,7 34,7 321,75575 321,58225 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-22 9,2615 9,2565 34,72 34,72 321,55928 321,38568 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-27 9,3855 9,3805 34,41 34,41 322,955055 322,783005 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-28 9,3995 9,3945 34,47 34,47 324,000765 323,828415 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-29 9,4215 9,4165 34,64 34,64 326,36076 326,18756 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-06-30 9,4415 9,4365 34,61 34,61 326,770315 326,597265 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-01 9,4595 9,4545 34,66 34,66 327,86627 327,69297 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-04 9,4795 9,4745 34,87 34,87 330,550165 330,375815 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-05 9,4575 9,4525 34,8 34,8 329,121 328,947 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-06 9,4195 9,4145 34,87 34,87 328,457965 328,283615 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-07 9,3965 9,3915 34,03 34,03 319,762895 319,592745 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-08 9,4175 9,4125 34,77 34,77 327,446475 327,272625 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-11 9,4665 9,4615 34,92 34,92 330,57018 330,39558 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-12 9,4645 9,4595 34,87 34,87 330,027115 329,852765 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-13 9,3915 9,3865 35,03 35,03 328,984245 328,809095 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-14 9,3675 9,3625 35,24 35,24 330,1107 329,9345 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-15 9,4055 9,4005 35,08 35,08 329,94494 329,76954 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-18 9,3895 9,3845 35,17 35,17 330,228715 330,052865 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-19 9,4425 9,4375 35,14 35,14 331,80945 331,63375 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-20 9,4265 9,4215 35,15 35,15 331,341475 331,165725 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-21 9,4625 9,4575 35,16 35,16 332,7015 332,5257 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-22 9,4495 9,4445 35,14 35,14 332,05543 331,87973 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-25 9,4275 9,4225 35,17 35,17 331,565175 331,389325 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-26 9,4155 9,4105 35,29 35,29 332,272995 332,096545 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-27 9,4725 9,4675 35,47 35,47 335,989575 335,812225 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-28 9,4515 9,4465 35,81 35,81 338,458215 338,279165 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-07-29 9,3885 9,3835 35,84 35,84 336,48384 336,30464 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-01 9,3985 9,3935 35,85 35,85 336,936225 336,756975 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-02 9,3995 9,3945 35,91 35,91 337,536045 337,356495 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-03 9,3755 9,3705 35,96 35,96 337,14298 336,96318 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-04 9,3735 9,3685 36 36 337,446 337,266 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-05 9,3355 9,3305 35,94 35,94 335,51787 335,33817 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-08 9,3335 9,3285 36,04 36,04 336,37934 336,19914 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-09 9,3455 9,3405 36,04 36,04 336,81182 336,63162 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-10 9,3535 9,3485 36,29 36,29 339,438515 339,257065 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-11 9,3365 9,3315 36,2 36,2 337,9813 337,8003 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-12 9,3025 9,2975 36,23 36,23 337,029575 336,848425 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-16 9,2995 9,2945 36,3 36,3 337,57185 337,39035 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-17 9,3405 9,3355 36,14 36,14 337,56567 337,38497 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-18 9,3365 9,3315 36,22 36,22 338,16803 337,98693 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-19 9,3395 9,3345 36,3 36,3 339,02385 338,84235 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-22 9,3655 9,3605 36,38 36,38 340,71689 340,53499 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-23 9,3715 9,3665 36,22 36,22 339,43573 339,25463 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-24 9,3365 9,3315 36,19 36,19 337,887935 337,706985 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-25 9,3335 9,3285 36,01 36,01 336,099335 335,919285 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-26 9,3415 9,3365 36,2 36,2 338,1623 337,9813 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-29 9,3295 9,3245 36 36 335,862 335,682 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-30 9,3285 9,3235 36,14 36,14 337,13199 336,95129 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-08-31 9,3585 9,3535 36,19 36,19 338,684115 338,503165 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-01 9,3365 9,3315 36,48 36,48 340,59552 340,41312 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-02 9,3025 9,2975 36,47 36,47 339,262175 339,079825 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-05 9,2845 9,2795 36,54 36,54 339,25563 339,07293 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-06 9,3225 9,3175 36,62 36,62 341,38995 341,20685 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-07 9,3075 9,3025 36,77 36,77 342,236775 342,052925 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-08 9,3255 9,3205 36,8 36,8 343,1784 342,9944 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-09 9,3445 9,3395 36,94 36,94 345,18583 345,00113 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-12 9,3015 9,2965 37,12 37,12 345,27168 345,08608 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-13 9,3015 9,2965 36,99 36,99 344,062485 343,877535 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-14 9,3365 9,3315 36,94 36,94 344,89031 344,70561 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-15 9,3425 9,3375 36,97 36,97 345,392225 345,207375 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-16 9,3465 9,3415 37,13 37,13 347,035545 346,849895 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-19 9,3355 9,3305 37,26 37,26 347,84073 347,65443 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-20 9,3395 9,3345 37,34 37,34 348,73693 348,55023 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-21 9,3405 9,3355 37,33 37,33 348,680865 348,494215 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-22 9,3405 9,3355 37,16 37,16 347,09298 346,90718 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-23 9,3695 9,3645 37,41 37,41 350,512995 350,325945 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-26 9,3815 9,3765 37,64 37,64 353,11966 352,93146 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-27 9,3885 9,3835 37,68 37,68 353,75868 353,57028 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-28 9,3935 9,3885 37,77 37,77 354,792495 354,603645 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-29 9,3845 9,3795 37,76 37,76 354,35872 354,16992 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-09-30 9,3435 9,3385 37,95 37,95 354,585825 354,396075 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-03 9,3025 9,2975 38,14 38,14 354,79735 354,60665 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-04 9,3185 9,3135 38,31 38,31 356,991735 356,800185 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-05 9,3105 9,3055 38,23 38,23 355,940415 355,749265 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-06 9,3015 9,2965 37,69 37,69 350,573535 350,385085 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-07 9,3385 9,3335 37,61 37,61 351,220985 351,032935 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-10 9,3465 9,3415 37,7 37,7 352,36305 352,17455 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-11 9,3395 9,3345 37,74 37,74 352,47273 352,28403 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-12 9,3375 9,3325 37,57 37,57 350,809875 350,622025 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-13 9,3815 9,3765 37,14 37,14 348,42891 348,24321 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-14 9,4135 9,4085 36,76 36,76 346,04026 345,85646 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-17 9,4575 9,4525 36,84 36,84 348,4143 348,2301 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-18 9,4625 9,4575 36,78 36,78 348,03075 347,84685 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-19 9,4605 9,4555 35,94 35,94 340,01037 339,83067 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-20 9,4935 9,4885 36,19 36,19 343,569765 343,388815 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-21 9,4915 9,4865 35,75 35,75 339,321125 339,142375 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-24 9,5455 9,5405 36,04 36,04 344,01982 343,83962 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-25 9,5465 9,5415 36,1 36,1 344,62865 344,44815 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-26 9,4975 9,4925 36,1 36,1 342,85975 342,67925 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-27 9,5355 9,5305 35,9 35,9 342,32445 342,14495 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-28 9,5135 9,5085 35,76 35,76 340,20276 340,02396 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-10-31 9,5495 9,5445 36,17 36,17 345,405415 345,224565 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-02 9,5855 9,5805 36,39 36,39 348,816345 348,634395 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-03 9,6515 9,6465 36,7 36,7 354,21005 354,02655 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-04 9,5875 9,5825 36,77 36,77 352,532375 352,348525 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-07 9,6075 9,6025 36,86 36,86 354,13245 353,94815 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-08 9,5685 9,5635 36,85 36,85 352,599225 352,414975 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-09 9,5575 9,5525 36,81 36,81 351,811575 351,627525 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-10 9,6105 9,6055 36,81 36,81 353,762505 353,578455 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-11 9,6365 9,6315 36,82 36,82 354,81593 354,63183 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-14 9,5505 9,5455 36,92 36,92 352,60446 352,41986 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-15 9,5805 9,5755 36,88 36,88 353,32884 353,14444 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-16 9,6235 9,6185 36,67 36,67 352,893745 352,710395 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-17 9,6355 9,6305 36,73 36,73 353,911915 353,728265 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-18 9,6085 9,6035 36,69 36,69 352,535865 352,352415 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-21 9,5915 9,5865 36,73 36,73 352,295795 352,112145 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-22 9,5585 9,5535 36,89 36,89 352,613065 352,428615 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-23 9,5155 9,5105 37,04 37,04 352,45412 352,26892 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-24 9,5125 9,5075 37,01 37,01 352,057625 351,872575 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-25 9,4965 9,4915 37,28 37,28 354,02952 353,84312 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-28 9,4835 9,4785 37,2 37,2 352,7862 352,6002 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-29 9,4785 9,4735 37,14 37,14 352,03149 351,84579 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-11-30 9,5295 9,5245 37,23 37,23 354,783285 354,597135 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-01 9,5165 9,5115 37,42 37,42 356,10743 355,92033 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-02 9,4905 9,4855 37,69 37,69 357,696945 357,508495 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-05 9,4065 9,4015 37,72 37,72 354,81318 354,62458 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-06 9,4185 9,4135 37,76 37,76 355,64256 355,45376 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-07 9,4255 9,4205 37,9 37,9 357,22645 357,03695 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-08 9,3965 9,3915 37,91 37,91 356,221315 356,031765 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-12 9,4315 9,4265 38,09 38,09 359,245835 359,055385 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-13 9,4295 9,4245 38,11 38,11 359,358245 359,167695 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-14 9,4365 9,4315 38,08 38,08 359,34192 359,15152 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-15 9,4345 9,4295 38,16 38,16 360,02052 359,82972 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-16 9,4765 9,4715 38,22 38,22 362,19183 362,00073 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-19 9,4535 9,4485 38,28 38,28 361,87998 361,68858 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-20 9,4015 9,3965 38,45 38,45 361,487675 361,295425 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-21 9,4485 9,4435 38,51 38,51 363,861735 363,669185 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-22 9,4365 9,4315 38,56 38,56 363,87144 363,67864 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-23 9,4425 9,4375 38,64 38,64 364,8582 364,665 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-27 9,4915 9,4865 38,68 38,68 367,13122 366,93782 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-28 9,4345 9,4295 38,67 38,67 364,832115 364,638765 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-29 9,4115 9,4065 38,83 38,83 365,448545 365,254395 333757 Morgan Stanley Investment Management Limited Morgan Stanley SICAV European Small Cap Value Fund EUR 2005-12-30 9,4325 9,4275 38,95 38,95 367,395875 367,201125 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-03 9,0065 9,0015 19,72 19,72 177,60818 177,50958 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-04 9,0345 9,0295 19,79 19,79 178,792755 178,693805 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-05 9,0615 9,0565 19,81 19,81 179,508315 179,409265 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-07 9,0615 9,0565 19,88 19,88 180,14262 180,04322 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-10 9,08619 9,08119 20 20 181,7238 181,6238 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-11 9,08619 9,08119 19,99 19,99 181,6329381 181,5329881 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-12 9,0455 9,0405 20,05 20,05 181,362275 181,262025 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-13 9,0505 9,0455 20,01 20,01 181,100505 181,000455 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-14 9,0455 9,0405 20,16 20,16 182,35728 182,25648 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-17 9,0685 9,0635 20,22 20,22 183,36507 183,26397 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-18 9,0585 9,0535 20,18 20,18 182,80053 182,69963 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-19 9,0225 9,0175 20,23 20,23 182,525175 182,424025 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-20 9,0315 9,0265 20,26 20,26 182,97819 182,87689 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-21 9,0505 9,0455 20,19 20,19 182,729595 182,628645 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-24 9,0655 9,0605 20,19 20,19 183,032445 182,931495 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-25 9,0715 9,0665 20,18 20,18 183,06287 182,96197 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-26 9,0885 9,0835 20,19 20,19 183,496815 183,395865 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-27 9,0675 9,0625 20,17 20,17 182,891475 182,790625 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-28 9,0955 9,0905 20,19 20,19 183,638145 183,537195 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-01-31 9,1075 9,1025 20,2 20,2 183,9715 183,8705 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-01 9,1035 9,0985 20,19 20,19 183,799665 183,698715 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-02 9,0905 9,0855 20,19 20,19 183,537195 183,436245 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-03 9,0695 9,0645 20,19 20,19 183,113205 183,012255 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-04 9,0895 9,0845 20,25 20,25 184,062375 183,961125 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-07 9,0755 9,0705 20,37 20,37 184,867935 184,766085 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-08 9,0895 9,0845 20,36 20,36 185,06222 184,96042 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-09 9,0695 9,0645 20,41 20,41 185,108495 185,006445 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-10 9,0805 9,0755 20,34 20,34 184,69737 184,59567 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-11 9,0935 9,0885 20,27 20,27 184,325245 184,223895 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-14 9,1105 9,1055 20,21 20,21 184,123205 184,022155 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-15 9,0765 9,0715 20,2 20,2 183,3453 183,2443 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-16 9,0705 9,0655 20,15 20,15 182,770575 182,669825 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-17 9,0925 9,0875 20,06 20,06 182,39555 182,29525 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-18 9,0945 9,0895 20,06 20,06 182,43567 182,33537 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-21 9,1185 9,1135 20 20 182,37 182,27 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-22 9,0975 9,0925 19,96 19,96 181,5861 181,4863 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-23 9,1045 9,0995 19,91 19,91 181,270595 181,171045 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-24 9,0715 9,0665 19,84 19,84 179,97856 179,87936 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-25 9,0845 9,0795 19,9 19,9 180,78155 180,68205 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-02-28 9,0505 9,0455 19,91 19,91 180,195455 180,095905 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-01 9,0565 9,0515 19,91 19,91 180,314915 180,215365 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-02 9,0645 9,0595 19,93 19,93 180,655485 180,555835 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-03 9,0675 9,0625 19,89 19,89 180,352575 180,253125 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-04 9,0415 9,0365 19,88 19,88 179,74502 179,64562 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-07 9,0425 9,0375 19,89 19,89 179,855325 179,755875 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-08 9,0345 9,0295 19,86 19,86 179,42517 179,32587 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-09 9,0365 9,0315 19,78 19,78 178,74197 178,64307 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-10 9,0655 9,0605 19,7 19,7 178,59035 178,49185 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-11 9,0795 9,0745 19,72 19,72 179,04774 178,94914 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-14 9,0695 9,0645 19,65 19,65 178,215675 178,117425 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-15 9,1035 9,0985 19,73 19,73 179,612055 179,513405 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-16 9,0975 9,0925 19,74 19,74 179,58465 179,48595 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-17 9,1045 9,0995 19,75 19,75 179,813875 179,715125 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-18 9,1035 9,0985 19,76 19,76 179,88516 179,78636 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-21 9,1265 9,1215 19,82 19,82 180,88723 180,78813 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-22 9,1265 9,1215 19,86 19,86 181,25229 181,15299 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-23 9,1165 9,1115 19,91 19,91 181,509515 181,409965 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-24 9,1135 9,1085 19,92 19,92 181,54092 181,44132 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-29 9,1315 9,1265 19,91 19,91 181,808165 181,708615 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-30 9,1425 9,1375 19,91 19,91 182,027175 181,927625 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-03-31 9,1405 9,1355 19,96 19,96 182,44438 182,34458 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-01 9,1645 9,1595 19,96 19,96 182,92342 182,82362 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-04 9,1695 9,1645 19,97 19,97 183,114915 183,015065 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-05 9,1745 9,1695 20 20 183,49 183,39 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-06 9,1705 9,1655 19,94 19,94 182,85977 182,76007 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-07 9,1505 9,1455 19,94 19,94 182,46097 182,36127 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-08 9,1625 9,1575 19,98 19,98 183,06675 182,96685 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-11 9,1705 9,1655 19,93 19,93 182,768065 182,668415 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-12 9,1525 9,1475 19,93 19,93 182,409325 182,309675 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-13 9,1495 9,1445 20,02 20,02 183,17299 183,07289 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-14 9,1685 9,1635 20,06 20,06 183,92011 183,81981 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-15 9,1925 9,1875 20,04 20,04 184,2177 184,1175 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-18 9,1805 9,1755 19,98 19,98 183,42639 183,32649 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-19 9,2035 9,1985 19,98 19,98 183,88593 183,78603 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-20 9,1915 9,1865 19,99 19,99 183,738085 183,638135 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-21 9,1855 9,1805 19,92 19,92 182,97516 182,87556 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-22 9,1625 9,1575 20,01 20,01 183,341625 183,241575 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-25 9,1685 9,1635 20,14 20,14 184,65359 184,55289 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-26 9,1375 9,1325 20,13 20,13 183,937875 183,837225 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-27 9,1465 9,1415 20,15 20,15 184,301975 184,201225 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-28 9,1505 9,1455 20,2 20,2 184,8401 184,7391 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-04-29 9,1705 9,1655 20,22 20,22 185,42751 185,32641 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-02 9,1935 9,1885 20,29 20,29 186,536115 186,434665 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-03 9,2245 9,2195 20,31 20,31 187,349595 187,248045 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-04 9,1915 9,1865 20,28 20,28 186,40362 186,30222 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-06 9,1715 9,1665 20,25 20,25 185,722875 185,621625 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-09 9,1815 9,1765 20,27 20,27 186,109005 186,007655 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-10 9,1985 9,1935 20,26 20,26 186,36161 186,26031 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-11 9,2105 9,2055 20,29 20,29 186,881045 186,779595 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-12 9,2315 9,2265 20,34 20,34 187,76871 187,66701 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-13 9,2045 9,1995 20,41 20,41 187,863845 187,761795 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-17 9,2325 9,2275 20,37 20,37 188,066025 187,964175 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-18 9,2095 9,2045 20,41 20,41 187,965895 187,863845 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-19 9,1905 9,1855 20,4 20,4 187,4862 187,3842 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-20 9,1955 9,1905 20,38 20,38 187,40429 187,30239 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-23 9,1805 9,1755 20,44 20,44 187,64942 187,54722 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-24 9,1815 9,1765 20,49 20,49 188,128935 188,026485 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-25 9,1785 9,1735 20,5 20,5 188,15925 188,05675 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-26 9,1945 9,1895 20,48 20,48 188,30336 188,20096 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-27 9,1955 9,1905 20,49 20,49 188,415795 188,313345 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-30 9,1905 9,1855 20,52 20,52 188,58906 188,48646 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-05-31 9,1665 9,1615 20,7 20,7 189,74655 189,64305 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-01 9,1455 9,1405 20,78 20,78 190,04349 189,93959 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-02 9,1565 9,1515 20,84 20,84 190,82146 190,71726 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-03 9,1315 9,1265 20,88 20,88 190,66572 190,56132 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-07 9,1455 9,1405 20,98 20,98 191,87259 191,76769 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-08 9,1455 9,1405 20,98 20,98 191,87259 191,76769 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-09 9,1965 9,1915 21 21 193,1265 193,0215 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-10 9,1975 9,1925 21,01 21,01 193,239475 193,134425 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-13 9,2365 9,2315 21,04 21,04 194,33596 194,23076 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-14 9,2985 9,2935 20,96 20,96 194,89656 194,79176 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-15 9,2695 9,2645 21,01 21,01 194,752195 194,647145 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-16 9,2695 9,2645 20,89 20,89 193,639855 193,535405 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-17 9,2695 9,2645 20,87 20,87 193,454465 193,350115 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-20 9,2255 9,2205 20,84 20,84 192,25942 192,15522 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-21 9,2725 9,2675 20,98 20,98 194,53705 194,43215 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-22 9,2615 9,2565 21,04 21,04 194,86196 194,75676 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-27 9,3855 9,3805 21 21 197,0955 196,9905 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-28 9,3995 9,3945 21 21 197,3895 197,2845 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-29 9,4215 9,4165 20,98 20,98 197,66307 197,55817 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-06-30 9,4415 9,4365 20,99 20,99 198,177085 198,072135 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-01 9,4595 9,4545 20,94 20,94 198,08193 197,97723 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-04 9,4795 9,4745 21,05 21,05 199,543475 199,438225 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-05 9,4575 9,4525 21,01 21,01 198,702075 198,597025 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-06 9,4195 9,4145 20,99 20,99 197,715305 197,610355 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-07 9,3965 9,3915 20,96 20,96 196,95064 196,84584 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-08 9,4175 9,4125 20,97 20,97 197,484975 197,380125 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-11 9,4665 9,4615 20,9 20,9 197,84985 197,74535 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-12 9,4645 9,4595 20,77 20,77 196,577665 196,473815 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-13 9,3915 9,3865 20,72 20,72 194,59188 194,48828 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-14 9,3675 9,3625 20,77 20,77 194,562975 194,459125 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-15 9,4055 9,4005 20,76 20,76 195,25818 195,15438 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-18 9,3895 9,3845 20,8 20,8 195,3016 195,1976 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-19 9,4425 9,4375 20,81 20,81 196,498425 196,394375 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-20 9,4265 9,4215 20,7 20,7 195,12855 195,02505 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-21 9,4625 9,4575 20,68 20,68 195,6845 195,5811 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-22 9,4495 9,4445 20,77 20,77 196,266115 196,162265 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-25 9,4275 9,4225 20,83 20,83 196,374825 196,270675 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-26 9,4155 9,4105 20,87 20,87 196,501485 196,397135 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-27 9,4725 9,4675 20,86 20,86 197,59635 197,49205 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-28 9,4515 9,4465 20,75 20,75 196,118625 196,014875 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-07-29 9,3885 9,3835 20,79 20,79 195,186915 195,082965 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-01 9,3985 9,3935 20,64 20,64 193,98504 193,88184 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-02 9,3995 9,3945 20,66 20,66 194,19367 194,09037 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-03 9,3755 9,3705 20,57 20,57 192,854035 192,751185 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-04 9,3735 9,3685 20,53 20,53 192,437955 192,335305 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-05 9,3355 9,3305 20,48 20,48 191,19104 191,08864 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-08 9,3335 9,3285 20,47 20,47 191,056745 190,954395 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-09 9,3455 9,3405 20,43 20,43 190,928565 190,826415 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-10 9,3535 9,3485 20,51 20,51 191,840285 191,737735 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-11 9,3365 9,3315 20,51 20,51 191,491615 191,389065 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-12 9,3025 9,2975 20,55 20,55 191,166375 191,063625 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-16 9,2995 9,2945 20,72 20,72 192,68564 192,58204 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-17 9,3405 9,3355 20,74 20,74 193,72197 193,61827 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-18 9,3365 9,3315 20,8 20,8 194,1992 194,0952 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-19 9,3395 9,3345 20,84 20,84 194,63518 194,53098 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-22 9,3655 9,3605 20,86 20,86 195,36433 195,26003 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-23 9,3715 9,3665 20,8 20,8 194,9272 194,8232 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-24 9,3365 9,3315 20,84 20,84 194,57266 194,46846 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-25 9,3335 9,3285 20,8 20,8 194,1368 194,0328 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-26 9,3415 9,3365 20,81 20,81 194,396615 194,292565 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-29 9,3295 9,3245 20,77 20,77 193,773715 193,669865 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-30 9,3285 9,3235 20,8 20,8 194,0328 193,9288 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-08-31 9,3585 9,3535 20,8 20,8 194,6568 194,5528 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-01 9,3365 9,3315 20,73 20,73 193,545645 193,441995 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-02 9,3025 9,2975 20,67 20,67 192,282675 192,179325 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-05 9,2845 9,2795 20,73 20,73 192,467685 192,364035 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-06 9,3225 9,3175 20,72 20,72 193,1622 193,0586 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-07 9,3075 9,3025 20,73 20,73 192,944475 192,840825 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-08 9,3255 9,3205 20,72 20,72 193,22436 193,12076 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-09 9,3445 9,3395 20,75 20,75 193,898375 193,794625 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-12 9,3015 9,2965 20,88 20,88 194,21532 194,11092 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-13 9,3015 9,2965 20,79 20,79 193,378185 193,274235 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-14 9,3365 9,3315 20,86 20,86 194,75939 194,65509 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-15 9,3425 9,3375 20,9 20,9 195,25825 195,15375 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-16 9,3465 9,3415 20,82 20,82 194,59413 194,49003 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-19 9,3355 9,3305 20,91 20,91 195,205305 195,100755 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-20 9,3395 9,3345 20,89 20,89 195,102155 194,997705 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-21 9,3405 9,3355 20,87 20,87 194,936235 194,831885 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-22 9,3405 9,3355 20,9 20,9 195,21645 195,11195 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-23 9,3695 9,3645 20,95 20,95 196,291025 196,186275 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-26 9,3815 9,3765 20,91 20,91 196,167165 196,062615 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-27 9,3885 9,3835 20,88 20,88 196,03188 195,92748 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-28 9,3935 9,3885 20,85 20,85 195,854475 195,750225 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-29 9,3845 9,3795 20,85 20,85 195,666825 195,562575 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-09-30 9,3435 9,3385 20,82 20,82 194,53167 194,42757 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-03 9,3025 9,2975 20,88 20,88 194,2362 194,1318 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-04 9,3185 9,3135 20,86 20,86 194,38391 194,27961 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-05 9,3105 9,3055 20,89 20,89 194,496345 194,391895 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-06 9,3015 9,2965 20,76 20,76 193,09914 192,99534 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-07 9,3385 9,3335 20,69 20,69 193,213565 193,110115 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-10 9,3465 9,3415 20,71 20,71 193,566015 193,462465 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-11 9,3395 9,3345 20,78 20,78 194,07481 193,97091 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-12 9,3375 9,3325 20,74 20,74 193,65975 193,55605 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-13 9,3815 9,3765 20,7 20,7 194,19705 194,09355 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-14 9,4135 9,4085 20,67 20,67 194,577045 194,473695 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-17 9,4575 9,4525 20,62 20,62 195,01365 194,91055 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-18 9,4625 9,4575 20,65 20,65 195,400625 195,297375 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-19 9,4605 9,4555 20,69 20,69 195,737745 195,634295 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-20 9,4935 9,4885 20,67 20,67 196,230645 196,127295 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-21 9,4915 9,4865 20,64 20,64 195,90456 195,80136 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-24 9,5455 9,5405 20,73 20,73 197,878215 197,774565 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-25 9,5465 9,5415 20,61 20,61 196,753365 196,650315 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-26 9,4975 9,4925 20,51 20,51 194,793725 194,691175 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-27 9,5355 9,5305 20,49 20,49 195,382395 195,279945 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-28 9,5135 9,5085 20,48 20,48 194,83648 194,73408 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-10-31 9,5495 9,5445 20,54 20,54 196,14673 196,04403 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-02 9,5855 9,5805 20,44 20,44 195,92762 195,82542 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-03 9,6515 9,6465 20,47 20,47 197,566205 197,463855 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-04 9,5875 9,5825 20,5 20,5 196,54375 196,44125 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-07 9,6075 9,6025 20,59 20,59 197,818425 197,715475 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-08 9,5685 9,5635 20,66 20,66 197,68521 197,58191 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-09 9,5575 9,5525 20,69 20,69 197,744675 197,641225 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-10 9,6105 9,6055 20,63 20,63 198,264615 198,161465 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-11 9,6365 9,6315 20,68 20,68 199,28282 199,17942 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-14 9,5505 9,5455 20,66 20,66 197,31333 197,21003 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-15 9,5805 9,5755 20,63 20,63 197,645715 197,542565 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-16 9,6235 9,6185 20,69 20,69 199,110215 199,006765 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-17 9,6355 9,6305 20,67 20,67 199,165785 199,062435 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-18 9,6085 9,6035 20,57 20,57 197,646845 197,543995 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-21 9,5915 9,5865 20,53 20,53 196,913495 196,810845 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-22 9,5585 9,5535 20,63 20,63 197,191855 197,088705 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-23 9,5155 9,5105 20,61 20,61 196,114455 196,011405 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-24 9,5125 9,5075 20,63 20,63 196,242875 196,139725 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-25 9,4965 9,4915 20,63 20,63 195,912795 195,809645 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-28 9,4835 9,4785 20,63 20,63 195,644605 195,541455 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-29 9,4785 9,4735 20,62 20,62 195,44667 195,34357 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-11-30 9,5295 9,5245 20,59 20,59 196,212405 196,109455 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-01 9,5165 9,5115 20,65 20,65 196,515725 196,412475 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-02 9,4905 9,4855 20,64 20,64 195,88392 195,78072 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-05 9,4065 9,4015 20,54 20,54 193,20951 193,10681 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-06 9,4185 9,4135 20,54 20,54 193,45599 193,35329 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-07 9,4255 9,4205 20,6 20,6 194,1653 194,0623 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-08 9,3965 9,3915 20,56 20,56 193,19204 193,08924 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-12 9,4315 9,4265 20,41 20,41 192,496915 192,394865 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-13 9,4295 9,4245 20,44 20,44 192,73898 192,63678 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-14 9,4365 9,4315 20,5 20,5 193,44825 193,34575 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-15 9,4345 9,4295 20,63 20,63 194,633735 194,530585 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-16 9,4765 9,4715 20,63 20,63 195,500195 195,397045 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-19 9,4535 9,4485 20,64 20,64 195,12024 195,01704 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-20 9,4015 9,3965 20,67 20,67 194,329005 194,225655 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-21 9,4485 9,4435 20,71 20,71 195,678435 195,574885 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-22 9,4365 9,4315 20,7 20,7 195,33555 195,23205 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-23 9,4425 9,4375 20,72 20,72 195,6486 195,545 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-27 9,4915 9,4865 20,71 20,71 196,568965 196,465415 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-28 9,4345 9,4295 20,65 20,65 194,822425 194,719175 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-29 9,4115 9,4065 20,7 20,7 194,81805 194,71455 894931 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Bond Fund EUR 2005-12-30 9,4325 9,4275 20,76 20,76 195,8187 195,7149 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-03 6,668 6,658 39,86 39,86 265,78648 265,38788 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-04 6,728 6,718 39,63 39,63 266,63064 266,23434 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-05 6,828 6,818 39,16 39,16 267,38448 266,99288 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-07 6,87 6,86 39,19 39,19 269,2353 268,8434 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-10 6,96091 6,95091 39,08 39,08 272,0323628 271,6415628 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-11 6,96091 6,95091 39,18 39,18 272,7284538 272,3366538 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-12 6,913 6,903 39 39 269,607 269,217 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-13 6,843 6,833 39,17 39,17 268,04031 267,64861 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-14 6,915 6,905 39,08 39,08 270,2382 269,8474 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-17 6,915 6,905 39,28 39,28 271,6212 271,2284 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-18 6,968 6,958 39,09 39,09 272,37912 271,98822 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-19 6,91 6,9 39,43 39,43 272,4613 272,067 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-20 6,96 6,95 38,97 38,97 271,2312 270,8415 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-21 6,978 6,968 38,88 38,88 271,30464 270,91584 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-24 6,933 6,923 39 39 270,387 269,997 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-25 6,95 6,94 39,04 39,04 271,328 270,9376 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-26 6,995 6,985 39,23 39,23 274,41385 274,02155 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-27 6,93 6,92 39,13 39,13 271,1709 270,7796 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-28 6,985 6,975 39,25 39,25 274,16125 273,76875 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-01-31 6,998 6,988 39,12 39,12 273,76176 273,37056 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-01 6,993 6,983 39,18 39,18 273,98574 273,59394 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-02 6,953 6,943 39,42 39,42 274,08726 273,69306 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-03 6,968 6,958 39,6 39,6 275,9328 275,5368 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-04 7,01 7 39,69 39,69 278,2269 277,83 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-07 7,065 7,055 39,81 39,81 281,25765 280,85955 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-08 7,123 7,113 39,71 39,71 282,85433 282,45723 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-09 7,1 7,09 39,71 39,71 281,941 281,5439 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-10 7,088 7,078 39,56 39,56 280,40128 280,00568 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-11 7,068 7,058 39,82 39,82 281,44776 281,04956 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-14 7,03 7,02 40,28 40,28 283,1684 282,7656 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-15 7,005 6,995 40,33 40,33 282,51165 282,10835 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-16 6,973 6,963 40,29 40,29 280,94217 280,53927 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-17 6,97 6,96 40,39 40,39 281,5183 281,1144 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-18 6,965 6,955 40,34 40,34 280,9681 280,5647 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-21 6,978 6,968 40,7 40,7 284,0046 283,5976 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-22 6,905 6,895 40,83 40,83 281,93115 281,52285 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-23 6,895 6,885 40,6 40,6 279,937 279,531 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-24 6,858 6,848 40,71 40,71 279,18918 278,78208 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-25 6,885 6,875 40,65 40,65 279,87525 279,46875 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-02-28 6,828 6,818 40,88 40,88 279,12864 278,71984 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-01 6,87 6,86 40,95 40,95 281,3265 280,917 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-02 6,888 6,878 40,85 40,85 281,3748 280,9663 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-03 6,903 6,893 40,86 40,86 282,05658 281,64798 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-04 6,9 6,89 40,77 40,77 281,313 280,9053 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-07 6,84 6,83 41,08 41,08 280,9872 280,5764 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-08 6,825 6,815 41,24 41,24 281,463 281,0506 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-09 6,76 6,75 41,51 41,51 280,6076 280,1925 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-10 6,745 6,735 41,25 41,25 278,23125 277,81875 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-11 6,765 6,755 41,29 41,29 279,32685 278,91395 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-14 6,76 6,75 41,19 41,19 278,4444 278,0325 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-15 6,815 6,805 41,28 41,28 281,3232 280,9104 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-16 6,81 6,8 41,26 41,26 280,9806 280,568 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-17 6,795 6,785 41,01 41,01 278,66295 278,25285 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-18 6,828 6,818 40,94 40,94 279,53832 279,12892 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-21 6,908 6,898 40,67 40,67 280,94836 280,54166 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-22 6,928 6,918 40,6 40,6 281,2768 280,8708 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-23 6,973 6,963 40,44 40,44 281,98812 281,58372 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-24 7,008 6,998 40,56 40,56 284,24448 283,83888 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-29 7,055 7,045 40,43 40,43 285,23365 284,82935 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-30 7,053 7,043 40,54 40,54 285,92862 285,52322 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-03-31 7,065 7,055 40,8 40,8 288,252 287,844 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-01 7,07 7,06 40,84 40,84 288,7388 288,3304 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-04 7,113 7,103 40,39 40,39 287,29407 286,89017 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-05 7,163 7,153 40,95 40,95 293,32485 292,91535 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-06 7,125 7,115 41,32 41,32 294,405 293,9918 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-07 7,083 7,073 41,38 41,38 293,09454 292,68074 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-08 7,153 7,143 41,33 41,33 295,63349 295,22019 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-11 7,098 7,088 41,53 41,53 294,77994 294,36464 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-12 7,048 7,038 41,57 41,57 292,98536 292,56966 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-13 7,075 7,065 41,65 41,65 294,67375 294,25725 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-14 7,12 7,11 41,58 41,58 296,0496 295,6338 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-15 7,17 7,16 41,43 41,43 297,0531 296,6388 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-18 7,08 7,07 41,02 41,02 290,4216 290,0114 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-19 7,068 7,058 41,11 41,11 290,56548 290,15438 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-20 7,043 7,033 41,34 41,34 291,15762 290,74422 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-21 7,025 7,015 41,38 41,38 290,6945 290,2807 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-22 7,023 7,013 41,5 41,5 291,4545 291,0395 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-25 7,04 7,03 41,4 41,4 291,456 291,042 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-26 7,035 7,025 41,35 41,35 290,89725 290,48375 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-27 7,085 7,075 41,05 41,05 290,83925 290,42875 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-28 7,085 7,075 41,15 41,15 291,54775 291,13625 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-04-29 7,08 7,07 41,38 41,38 292,9704 292,5566 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-02 7,15 7,14 41,42 41,42 296,153 295,7388 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-03 7,178 7,168 41,45 41,45 297,5281 297,1136 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-04 7,11 7,1 41,81 41,81 297,2691 296,851 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-06 7,085 7,075 42,09 42,09 298,20765 297,78675 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-09 7,168 7,158 41,79 41,79 299,55072 299,13282 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-10 7,178 7,168 41,95 41,95 301,1171 300,6976 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-11 7,15 7,14 41,91 41,91 299,6565 299,2374 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-12 7,243 7,233 41,71 41,71 302,10553 301,68843 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-13 7,265 7,255 41,48 41,48 301,3522 300,9374 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-17 7,313 7,303 41,54 41,54 303,78202 303,36662 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-18 7,3 7,29 41,53 41,53 303,169 302,7537 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-19 7,26 7,25 41,69 41,69 302,6694 302,2525 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-20 7,28 7,27 41,58 41,58 302,7024 302,2866 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-23 7,32 7,31 41,5 41,5 303,78 303,365 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-24 7,295 7,285 41,71 41,71 304,27445 303,85735 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-25 7,298 7,288 41,62 41,62 303,74276 303,32656 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-26 7,33 7,32 41,7 41,7 305,661 305,244 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-27 7,338 7,328 41,54 41,54 304,82052 304,40512 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-30 7,338 7,328 41,55 41,55 304,8939 304,4784 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-05-31 7,403 7,393 41,33 41,33 305,96599 305,55269 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-01 7,428 7,418 41,38 41,38 307,37064 306,95684 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-02 7,473 7,463 41,57 41,57 310,65261 310,23691 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-03 7,438 7,428 41,62 41,62 309,56956 309,15336 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-07 7,448 7,438 41,68 41,68 310,43264 310,01584 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-08 7,435 7,425 41,79 41,79 310,70865 310,29075 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-09 7,523 7,513 41,63 41,63 313,18249 312,76619 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-10 7,525 7,515 41,75 41,75 314,16875 313,75125 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-13 7,643 7,633 41,33 41,33 315,88519 315,47189 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-14 7,663 7,653 41,5 41,5 318,0145 317,5995 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-15 7,693 7,683 41,43 41,43 318,72099 318,30669 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-16 7,678 7,668 41,24 41,24 316,64072 316,22832 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-17 7,643 7,633 41,4 41,4 316,4202 316,0062 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-20 7,543 7,533 41,35 41,35 311,90305 311,48955 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-21 7,648 7,638 41,29 41,29 315,78592 315,37302 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-22 7,608 7,598 41,62 41,62 316,64496 316,22876 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-27 7,73 7,72 40,97 40,97 316,6981 316,2884 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-28 7,76 7,75 40,91 40,91 317,4616 317,0525 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-29 7,833 7,823 40,96 40,96 320,83968 320,43008 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-06-30 7,823 7,813 41,01 41,01 320,82123 320,41113 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-01 7,858 7,848 41,13 41,13 323,19954 322,78824 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-04 7,945 7,935 40,83 40,83 324,39435 323,98605 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-05 7,963 7,953 40,77 40,77 324,65151 324,24381 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-06 7,895 7,885 40,93 40,93 323,14235 322,73305 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-07 7,878 7,868 40,11 40,11 315,98658 315,58548 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-08 7,913 7,903 40,61 40,61 321,34693 320,94083 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-11 7,89 7,88 40,96 40,96 323,1744 322,7648 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-12 7,77 7,76 41,28 41,28 320,7456 320,3328 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-13 7,703 7,693 41,23 41,23 317,59469 317,18239 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-14 7,76 7,75 41,18 41,18 319,5568 319,145 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-15 7,76 7,75 41,33 41,33 320,7208 320,3075 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-18 7,78 7,77 41,16 41,16 320,2248 319,8132 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-19 7,878 7,868 41,04 41,04 323,31312 322,90272 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-20 7,818 7,808 41,37 41,37 323,43066 323,01696 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-21 7,775 7,765 41,56 41,56 323,129 322,7134 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-22 7,758 7,748 41,3 41,3 320,4054 319,9924 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-25 7,838 7,828 41,3 41,3 323,7094 323,2964 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-26 7,818 7,808 41,45 41,45 324,0561 323,6416 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-27 7,905 7,895 41,44 41,44 327,5832 327,1688 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-28 7,848 7,838 41,75 41,75 327,654 327,2365 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-07-29 7,748 7,738 42,03 42,03 325,64844 325,22814 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-01 7,72 7,71 42,2 42,2 325,784 325,362 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-02 7,7 7,69 42,2 42,2 324,94 324,518 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-03 7,685 7,675 42,4 42,4 325,844 325,42 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-04 7,618 7,608 42,39 42,39 322,92702 322,50312 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-05 7,548 7,538 42,41 42,41 320,11068 319,68658 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-08 7,558 7,548 42,46 42,46 320,91268 320,48808 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-09 7,548 7,538 42,27 42,27 319,05396 318,63126 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-10 7,558 7,548 42,51 42,51 321,29058 320,86548 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-11 7,523 7,513 42,6 42,6 320,4798 320,0538 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-12 7,46 7,45 42,69 42,69 318,4674 318,0405 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-16 7,523 7,513 42,47 42,47 319,50181 319,07711 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-17 7,605 7,595 42,16 42,16 320,6268 320,2052 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-18 7,61 7,6 42 42 319,62 319,2 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-19 7,698 7,688 42,18 42,18 324,70164 324,27984 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-22 7,69 7,68 42,29 42,29 325,2101 324,7872 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-23 7,663 7,653 42,25 42,25 323,76175 323,33925 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-24 7,673 7,663 42,08 42,08 322,87984 322,45904 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-25 7,588 7,578 42,09 42,09 319,37892 318,95802 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-26 7,578 7,568 42,25 42,25 320,1705 319,748 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-29 7,573 7,563 41,91 41,91 317,38443 316,96533 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-30 7,633 7,623 41,81 41,81 319,13573 318,71763 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-08-31 7,668 7,658 41,83 41,83 320,75244 320,33414 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-01 7,568 7,558 42,61 42,61 322,47248 322,04638 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-02 7,435 7,425 42,95 42,95 319,33325 318,90375 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-05 7,41 7,4 43,17 43,17 319,8897 319,458 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-06 7,485 7,475 43,17 43,17 323,12745 322,69575 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-07 7,43 7,42 43,33 43,33 321,9419 321,5086 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-08 7,498 7,488 43,25 43,25 324,2885 323,856 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-09 7,523 7,513 43,31 43,31 325,82113 325,38803 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-12 7,555 7,545 43,33 43,33 327,35815 326,92485 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-13 7,57 7,56 43,34 43,34 328,0838 327,6504 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-14 7,61 7,6 43,29 43,29 329,4369 329,004 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-15 7,658 7,648 43,24 43,24 331,13192 330,69952 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-16 7,613 7,603 43,55 43,55 331,54615 331,11065 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-19 7,698 7,688 43,5 43,5 334,863 334,428 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-20 7,688 7,678 43,43 43,43 333,88984 333,45554 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-21 7,663 7,653 43,2 43,2 331,0416 330,6096 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-22 7,648 7,638 42,8 42,8 327,3344 326,9064 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-23 7,733 7,723 42,82 42,82 331,12706 330,69886 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-26 7,798 7,788 42,99 42,99 335,23602 334,80612 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-27 7,825 7,815 42,75 42,75 334,51875 334,09125 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-28 7,81 7,8 42,86 42,86 334,7366 334,308 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-29 7,785 7,775 42,77 42,77 332,96445 332,53675 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-09-30 7,785 7,775 42,82 42,82 333,3537 332,9255 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-03 7,783 7,773 42,93 42,93 334,12419 333,69489 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-04 7,82 7,81 43,02 43,02 336,4164 335,9862 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-05 7,795 7,785 43,04 43,04 335,4968 335,0664 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-06 7,713 7,703 42,68 42,68 329,19084 328,76404 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-07 7,683 7,673 42,55 42,55 326,91165 326,48615 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-10 7,698 7,688 42,49 42,49 327,08802 326,66312 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-11 7,77 7,76 42,37 42,37 329,2149 328,7912 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-12 7,805 7,795 42,03 42,03 328,04415 327,62385 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-13 7,83 7,82 41,73 41,73 326,7459 326,3286 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-14 7,833 7,823 41,75 41,75 327,02775 326,61025 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-17 7,835 7,825 41,86 41,86 327,9731 327,5545 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-18 7,893 7,883 41,9 41,9 330,7167 330,2977 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-19 7,96 7,95 41,59 41,59 331,0564 330,6405 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-20 7,93 7,92 41,72 41,72 330,8396 330,4224 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-21 7,883 7,873 41,63 41,63 328,16929 327,75299 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-24 7,995 7,985 41,91 41,91 335,07045 334,65135 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-25 7,99 7,98 41,96 41,96 335,2604 334,8408 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-26 7,868 7,858 41,96 41,96 330,14128 329,72168 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-27 7,868 7,858 41,9 41,9 329,6692 329,2502 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-28 7,825 7,815 41,88 41,88 327,711 327,2922 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-10-31 7,905 7,895 42,3 42,3 334,3815 333,9585 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-02 7,98 7,97 42,35 42,35 337,953 337,5295 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-03 8,01 8 42,71 42,71 342,1071 341,68 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-04 8,028 8,018 42,71 42,71 342,87588 342,44878 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-07 8,135 8,125 42,63 42,63 346,79505 346,36875 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-08 8,17 8,16 42,64 42,64 348,3688 347,9424 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-09 8,12 8,11 42,62 42,62 346,0744 345,6482 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-10 8,173 8,163 42,93 42,93 350,86689 350,43759 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-11 8,235 8,225 43,12 43,12 355,0932 354,662 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-14 8,133 8,123 43,06 43,06 350,20698 349,77638 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-15 8,185 8,175 42,86 42,86 350,8091 350,3805 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-16 8,21 8,2 42,63 42,63 349,9923 349,566 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-17 8,258 8,248 42,64 42,64 352,12112 351,69472 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-18 8,223 8,213 42,9 42,9 352,7667 352,3377 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-21 8,123 8,113 42,9 42,9 348,4767 348,0477 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-22 8,15 8,14 42,68 42,68 347,842 347,4152 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-23 8,048 8,038 42,96 42,96 345,74208 345,31248 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-24 8,053 8,043 42,94 42,94 345,79582 345,36642 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-25 8,078 8,068 42,9 42,9 346,5462 346,1172 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-28 8,118 8,108 42,71 42,71 346,71978 346,29268 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-29 8,015 8,005 42,93 42,93 344,08395 343,65465 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-11-30 8,088 8,078 42,85 42,85 346,5708 346,1423 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-01 8,083 8,073 42,73 42,73 345,38659 344,95929 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-02 8,103 8,093 42,91 42,91 347,69973 347,27063 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-05 8,045 8,035 43,05 43,05 346,33725 345,90675 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-06 7,993 7,983 43,06 43,06 344,17858 343,74798 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-07 8,015 8,005 42,88 42,88 343,6832 343,2544 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-08 7,988 7,978 42,81 42,81 341,96628 341,53818 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-12 7,953 7,943 43,2 43,2 343,5696 343,1376 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-13 7,905 7,895 43,19 43,19 341,41695 340,98505 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-14 7,848 7,838 43,47 43,47 341,15256 340,71786 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-15 7,858 7,848 43,51 43,51 341,90158 341,46648 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-16 7,903 7,893 43,77 43,77 345,91431 345,47661 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-19 7,865 7,855 44,07 44,07 346,61055 346,16985 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-20 7,848 7,838 43,89 43,89 344,44872 344,00982 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-21 7,948 7,938 43,71 43,71 347,40708 346,96998 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-22 7,98 7,97 43,76 43,76 349,2048 348,7672 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-23 7,955 7,945 43,72 43,72 347,7926 347,3554 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-27 8,01 8 43,85 43,85 351,2385 350,8 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-28 7,915 7,905 44,05 44,05 348,65575 348,21525 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-29 7,938 7,928 43,98 43,98 349,11324 348,67344 246330 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Brands Fund USD 2005-12-30 7,958 7,948 43,8 43,8 348,5604 348,1224 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-03 9,0065 9,0015 26,5 26,5 238,67225 238,53975 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-04 9,0345 9,0295 26,59 26,59 240,227355 240,094405 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-05 9,0615 9,0565 26,53 26,53 240,401595 240,268945 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-07 9,0615 9,0565 26,61 26,61 241,126515 240,993465 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-10 9,08619 9,08119 26,76 26,76 243,1464444 243,0126444 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-11 9,08619 9,08119 26,69 26,69 242,5104111 242,3769611 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-12 9,0455 9,0405 26,62 26,62 240,79121 240,65811 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-13 9,0505 9,0455 26,46 26,46 239,47623 239,34393 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-14 9,0455 9,0405 26,61 26,61 240,700755 240,567705 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-17 9,0685 9,0635 26,75 26,75 242,582375 242,448625 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-18 9,0585 9,0535 26,71 26,71 241,952535 241,818985 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-19 9,0225 9,0175 26,91 26,91 242,795475 242,660925 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-20 9,0315 9,0265 26,88 26,88 242,76672 242,63232 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-21 9,0505 9,0455 26,71 26,71 241,738855 241,605305 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-24 9,0655 9,0605 26,52 26,52 240,41706 240,28446 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-25 9,0715 9,0665 26,57 26,57 241,029755 240,896905 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-26 9,0885 9,0835 26,71 26,71 242,753835 242,620285 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-27 9,0675 9,0625 26,65 26,65 241,648875 241,515625 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-28 9,0955 9,0905 26,75 26,75 243,304625 243,170875 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-01-31 9,1075 9,1025 26,75 26,75 243,625625 243,491875 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-01 9,1035 9,0985 26,78 26,78 243,79173 243,65783 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-02 9,0905 9,0855 26,85 26,85 244,079925 243,945675 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-03 9,0695 9,0645 26,97 26,97 244,604415 244,469565 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-04 9,0895 9,0845 27,07 27,07 246,052765 245,917415 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-07 9,0755 9,0705 27,46 27,46 249,21323 249,07593 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-08 9,0895 9,0845 27,55 27,55 250,415725 250,277975 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-09 9,0695 9,0645 27,55 27,55 249,864725 249,726975 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-10 9,0805 9,0755 27,46 27,46 249,35053 249,21323 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-11 9,0935 9,0885 27,44 27,44 249,52564 249,38844 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-14 9,1105 9,1055 27,49 27,49 250,447645 250,310195 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-15 9,0765 9,0715 27,53 27,53 249,876045 249,738395 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-16 9,0705 9,0655 27,44 27,44 248,89452 248,75732 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-17 9,0925 9,0875 27,4 27,4 249,1345 248,9975 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-18 9,0945 9,0895 27,38 27,38 249,00741 248,87051 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-21 9,1185 9,1135 27,33 27,33 249,208605 249,071955 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-22 9,0975 9,0925 27,14 27,14 246,90615 246,77045 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-23 9,1045 9,0995 26,87 26,87 244,637915 244,503565 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-24 9,0715 9,0665 26,85 26,85 243,569775 243,435525 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-25 9,0845 9,0795 27,17 27,17 246,825865 246,690015 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-02-28 9,0505 9,0455 27,23 27,23 246,445115 246,308965 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-01 9,0565 9,0515 27,31 27,31 247,333015 247,196465 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-02 9,0645 9,0595 27,51 27,51 249,364395 249,226845 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-03 9,0675 9,0625 27,55 27,55 249,809625 249,671875 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-04 9,0415 9,0365 27,6 27,6 249,5454 249,4074 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-07 9,0425 9,0375 27,61 27,61 249,663425 249,525375 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-08 9,0345 9,0295 27,56 27,56 248,99082 248,85302 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-09 9,0365 9,0315 27,37 27,37 247,329005 247,192155 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-10 9,0655 9,0605 27,05 27,05 245,221775 245,086525 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-11 9,0795 9,0745 27,06 27,06 245,69127 245,55597 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-14 9,0695 9,0645 26,92 26,92 244,15094 244,01634 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-15 9,1035 9,0985 27,1 27,1 246,70485 246,56935 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-16 9,0975 9,0925 27,04 27,04 245,9964 245,8612 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-17 9,1045 9,0995 26,83 26,83 244,273735 244,139585 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-18 9,1035 9,0985 26,95 26,95 245,339325 245,204575 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-21 9,1265 9,1215 27,03 27,03 246,689295 246,554145 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-22 9,1265 9,1215 26,93 26,93 245,776645 245,641995 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-23 9,1165 9,1115 27 27 246,1455 246,0105 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-24 9,1135 9,1085 27,15 27,15 247,431525 247,295775 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-29 9,1315 9,1265 27,16 27,16 248,01154 247,87574 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-30 9,1425 9,1375 27,11 27,11 247,853175 247,717625 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-03-31 9,1405 9,1355 27,34 27,34 249,90127 249,76457 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-01 9,1645 9,1595 27,35 27,35 250,649075 250,512325 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-04 9,1695 9,1645 27,24 27,24 249,77718 249,64098 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-05 9,1745 9,1695 27,49 27,49 252,207005 252,069555 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-06 9,1705 9,1655 27,53 27,53 252,463865 252,326215 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-07 9,1505 9,1455 27,61 27,61 252,645305 252,507255 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-08 9,1625 9,1575 27,77 27,77 254,442625 254,303775 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-11 9,1705 9,1655 27,49 27,49 252,097045 251,959595 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-12 9,1525 9,1475 27,41 27,41 250,870025 250,732975 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-13 9,1495 9,1445 27,53 27,53 251,885735 251,748085 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-14 9,1685 9,1635 27,59 27,59 252,958915 252,820965 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-15 9,1925 9,1875 27,39 27,39 251,782575 251,645625 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-18 9,1805 9,1755 26,65 26,65 244,660325 244,527075 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-19 9,2035 9,1985 26,73 26,73 246,009555 245,875905 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-20 9,1915 9,1865 26,72 26,72 245,59688 245,46328 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-21 9,1855 9,1805 26,45 26,45 242,956475 242,824225 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-22 9,1625 9,1575 26,72 26,72 244,822 244,6884 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-25 9,1685 9,1635 26,83 26,83 245,990855 245,856705 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-26 9,1375 9,1325 26,88 26,88 245,616 245,4816 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-27 9,1465 9,1415 26,78 26,78 244,94327 244,80937 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-28 9,1505 9,1455 26,9 26,9 246,14845 246,01395 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-04-29 9,1705 9,1655 26,81 26,81 245,861105 245,727055 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-02 9,1935 9,1885 27,07 27,07 248,868045 248,732695 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-03 9,2245 9,2195 27,14 27,14 250,35293 250,21723 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-04 9,1915 9,1865 27,05 27,05 248,630075 248,494825 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-06 9,1715 9,1665 27,31 27,31 250,473665 250,337115 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-09 9,1815 9,1765 27,43 27,43 251,848545 251,711395 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-10 9,1985 9,1935 27,46 27,46 252,59081 252,45351 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-11 9,2105 9,2055 27,28 27,28 251,26244 251,12604 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-12 9,2315 9,2265 27,45 27,45 253,404675 253,267425 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-13 9,2045 9,1995 27,47 27,47 252,847615 252,710265 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-17 9,2325 9,2275 27,43 27,43 253,247475 253,110325 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-18 9,2095 9,2045 27,59 27,59 254,090105 253,952155 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-19 9,1905 9,1855 27,77 27,77 255,220185 255,081335 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-20 9,1955 9,1905 27,85 27,85 256,094675 255,955425 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-23 9,1805 9,1755 28 28 257,054 256,914 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-24 9,1815 9,1765 28,02 28,02 257,26563 257,12553 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-25 9,1785 9,1735 28,04 28,04 257,36514 257,22494 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-26 9,1945 9,1895 28,04 28,04 257,81378 257,67358 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-27 9,1955 9,1905 28,11 28,11 258,485505 258,344955 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-30 9,1905 9,1855 28,19 28,19 259,080195 258,939245 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-05-31 9,1665 9,1615 28,45 28,45 260,786925 260,644675 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-01 9,1455 9,1405 28,55 28,55 261,104025 260,961275 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-02 9,1565 9,1515 28,7 28,7 262,79155 262,64805 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-03 9,1315 9,1265 28,73 28,73 262,347995 262,204345 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-07 9,1455 9,1405 28,73 28,73 262,750215 262,606565 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-08 9,1455 9,1405 28,75 28,75 262,933125 262,789375 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-09 9,1965 9,1915 28,74 28,74 264,30741 264,16371 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-10 9,1975 9,1925 28,92 28,92 265,9917 265,8471 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-13 9,2365 9,2315 29,18 29,18 269,52107 269,37517 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-14 9,2985 9,2935 29,14 29,14 270,95829 270,81259 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-15 9,2695 9,2645 29,3 29,3 271,59635 271,44985 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-16 9,2695 9,2645 29,21 29,21 270,762095 270,616045 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-17 9,2695 9,2645 29,21 29,21 270,762095 270,616045 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-20 9,2255 9,2205 29,11 29,11 268,554305 268,408755 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-21 9,2725 9,2675 29,38 29,38 272,42605 272,27915 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-22 9,2615 9,2565 29,35 29,35 271,825025 271,678275 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-27 9,3855 9,3805 28,76 28,76 269,92698 269,78318 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-28 9,3995 9,3945 28,91 28,91 271,739545 271,594995 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-29 9,4215 9,4165 29,17 29,17 274,825155 274,679305 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-06-30 9,4415 9,4365 29,15 29,15 275,219725 275,073975 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-01 9,4595 9,4545 29,06 29,06 274,89307 274,74777 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-04 9,4795 9,4745 29,38 29,38 278,50771 278,36081 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-05 9,4575 9,4525 29,36 29,36 277,6722 277,5254 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-06 9,4195 9,4145 29,54 29,54 278,25203 278,10433 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-07 9,3965 9,3915 28,62 28,62 268,92783 268,78473 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-08 9,4175 9,4125 29,3 29,3 275,93275 275,78625 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-11 9,4665 9,4615 29,39 29,39 278,220435 278,073485 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-12 9,4645 9,4595 29,21 29,21 276,458045 276,311995 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-13 9,3915 9,3865 29,22 29,22 274,41963 274,27353 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-14 9,3675 9,3625 29,51 29,51 276,434925 276,287375 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-15 9,4055 9,4005 29,52 29,52 277,65036 277,50276 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-18 9,3895 9,3845 29,56 29,56 277,55362 277,40582 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-19 9,4425 9,4375 29,52 29,52 278,7426 278,595 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-20 9,4265 9,4215 29,41 29,41 277,233365 277,086315 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-21 9,4625 9,4575 29,41 29,41 278,292125 278,145075 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-22 9,4495 9,4445 29,28 29,28 276,68136 276,53496 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-25 9,4275 9,4225 29,49 29,49 278,016975 277,869525 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-26 9,4155 9,4105 29,63 29,63 278,981265 278,833115 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-27 9,4725 9,4675 29,66 29,66 280,95435 280,80605 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-28 9,4515 9,4465 29,67 29,67 280,426005 280,277655 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-07-29 9,3885 9,3835 29,75 29,75 279,307875 279,159125 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-01 9,3985 9,3935 29,43 29,43 276,597855 276,450705 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-02 9,3995 9,3945 29,51 29,51 277,379245 277,231695 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-03 9,3755 9,3705 29,44 29,44 276,01472 275,86752 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-04 9,3735 9,3685 29,31 29,31 274,737285 274,590735 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-05 9,3355 9,3305 29,18 29,18 272,40989 272,26399 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-08 9,3335 9,3285 29,09 29,09 271,511515 271,366065 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-09 9,3455 9,3405 29,04 29,04 271,39332 271,24812 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-10 9,3535 9,3485 29,3 29,3 274,05755 273,91105 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-11 9,3365 9,3315 29,32 29,32 273,74618 273,59958 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-12 9,3025 9,2975 29,4 29,4 273,4935 273,3465 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-16 9,2995 9,2945 29,62 29,62 275,45119 275,30309 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-17 9,3405 9,3355 29,41 29,41 274,704105 274,557055 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-18 9,3365 9,3315 29,58 29,58 276,17367 276,02577 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-19 9,3395 9,3345 29,67 29,67 277,102965 276,954615 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-22 9,3655 9,3605 29,79 29,79 278,998245 278,849295 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-23 9,3715 9,3665 29,71 29,71 278,427265 278,278715 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-24 9,3365 9,3315 29,6 29,6 276,3604 276,2124 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-25 9,3335 9,3285 29,31 29,31 273,564885 273,418335 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-26 9,3415 9,3365 29,37 29,37 274,359855 274,213005 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-29 9,3295 9,3245 29,12 29,12 271,67504 271,52944 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-30 9,3285 9,3235 29,38 29,38 274,07133 273,92443 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-08-31 9,3585 9,3535 29,33 29,33 274,484805 274,338155 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-01 9,3365 9,3315 29,34 29,34 273,93291 273,78621 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-02 9,3025 9,2975 29,17 29,17 271,353925 271,208075 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-05 9,2845 9,2795 29,21 29,21 271,200245 271,054195 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-06 9,3225 9,3175 29,38 29,38 273,89505 273,74815 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-07 9,3075 9,3025 29,59 29,59 275,408925 275,260975 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-08 9,3255 9,3205 29,66 29,66 276,59433 276,44603 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-09 9,3445 9,3395 29,66 29,66 277,15787 277,00957 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-12 9,3015 9,2965 29,96 29,96 278,67294 278,52314 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-13 9,3015 9,2965 29,92 29,92 278,30088 278,15128 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-14 9,3365 9,3315 29,87 29,87 278,881255 278,731905 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-15 9,3425 9,3375 29,98 29,98 280,08815 279,93825 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-16 9,3465 9,3415 30,04 30,04 280,76886 280,61866 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-19 9,3355 9,3305 30,38 30,38 283,61249 283,46059 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-20 9,3395 9,3345 30,29 30,29 282,893455 282,742005 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-21 9,3405 9,3355 30,05 30,05 280,682025 280,531775 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-22 9,3405 9,3355 29,75 29,75 277,879875 277,731125 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-23 9,3695 9,3645 30,01 30,01 281,178695 281,028645 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-26 9,3815 9,3765 30,29 30,29 284,165635 284,014185 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-27 9,3885 9,3835 30,33 30,33 284,753205 284,601555 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-28 9,3935 9,3885 30,41 30,41 285,656335 285,504285 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-29 9,3845 9,3795 30,46 30,46 285,85187 285,69957 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-09-30 9,3435 9,3385 30,54 30,54 285,35049 285,19779 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-03 9,3025 9,2975 30,82 30,82 286,70305 286,54895 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-04 9,3185 9,3135 30,86 30,86 287,56891 287,41461 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-05 9,3105 9,3055 30,69 30,69 285,739245 285,585795 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-06 9,3015 9,2965 30,13 30,13 280,254195 280,103545 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-07 9,3385 9,3335 29,84 29,84 278,66084 278,51164 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-10 9,3465 9,3415 29,91 29,91 279,553815 279,404265 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-11 9,3395 9,3345 30,04 30,04 280,55858 280,40838 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-12 9,3375 9,3325 29,92 29,92 279,378 279,2284 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-13 9,3815 9,3765 29,74 29,74 279,00581 278,85711 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-14 9,4135 9,4085 29,67 29,67 279,298545 279,150195 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-17 9,4575 9,4525 29,7 29,7 280,88775 280,73925 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-18 9,4625 9,4575 29,88 29,88 282,7395 282,5901 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-19 9,4605 9,4555 29,53 29,53 279,368565 279,220915 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-20 9,4935 9,4885 29,79 29,79 282,811365 282,662415 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-21 9,4915 9,4865 29,36 29,36 278,67044 278,52364 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-24 9,5455 9,5405 29,6 29,6 282,5468 282,3988 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-25 9,5465 9,5415 29,56 29,56 282,19454 282,04674 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-26 9,4975 9,4925 29,48 29,48 279,9863 279,8389 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-27 9,5355 9,5305 29,26 29,26 279,00873 278,86243 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-28 9,5135 9,5085 29,24 29,24 278,17474 278,02854 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-10-31 9,5495 9,5445 29,89 29,89 285,434555 285,285105 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-02 9,5855 9,5805 29,78 29,78 285,45619 285,30729 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-03 9,6515 9,6465 30,22 30,22 291,66833 291,51723 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-04 9,5875 9,5825 30,36 30,36 291,0765 290,9247 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-07 9,6075 9,6025 30,63 30,63 294,277725 294,124575 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-08 9,5685 9,5635 30,67 30,67 293,465895 293,312545 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-09 9,5575 9,5525 30,67 30,67 293,128525 292,975175 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-10 9,6105 9,6055 30,74 30,74 295,42677 295,27307 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-11 9,6365 9,6315 30,99 30,99 298,635135 298,480185 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-14 9,5505 9,5455 31,05 31,05 296,543025 296,387775 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-15 9,5805 9,5755 30,96 30,96 296,61228 296,45748 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-16 9,6235 9,6185 30,98 30,98 298,13603 297,98113 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-17 9,6355 9,6305 30,94 30,94 298,12237 297,96767 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-18 9,6085 9,6035 31,07 31,07 298,536095 298,380745 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-21 9,5915 9,5865 30,91 30,91 296,473265 296,318715 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-22 9,5585 9,5535 31,1 31,1 297,26935 297,11385 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-23 9,5155 9,5105 31,13 31,13 296,217515 296,061865 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-24 9,5125 9,5075 31,17 31,17 296,504625 296,348775 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-25 9,4965 9,4915 31,24 31,24 296,67066 296,51446 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-28 9,4835 9,4785 31,24 31,24 296,26454 296,10834 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-29 9,4785 9,4735 31,32 31,32 296,86662 296,71002 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-11-30 9,5295 9,5245 31,13 31,13 296,653335 296,497685 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-01 9,5165 9,5115 31,36 31,36 298,43744 298,28064 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-02 9,4905 9,4855 31,54 31,54 299,33037 299,17267 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-05 9,4065 9,4015 31,38 31,38 295,17597 295,01907 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-06 9,4185 9,4135 31,42 31,42 295,92927 295,77217 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-07 9,4255 9,4205 31,51 31,51 296,997505 296,839955 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-08 9,3965 9,3915 31,25 31,25 293,640625 293,484375 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-12 9,4315 9,4265 31,17 31,17 293,979855 293,824005 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-13 9,4295 9,4245 31,16 31,16 293,82322 293,66742 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-14 9,4365 9,4315 31,15 31,15 293,946975 293,791225 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-15 9,4345 9,4295 31,22 31,22 294,54509 294,38899 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-16 9,4765 9,4715 31,27 31,27 296,330155 296,173805 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-19 9,4535 9,4485 31,29 31,29 295,800015 295,643565 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-20 9,4015 9,3965 31,36 31,36 294,83104 294,67424 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-21 9,4485 9,4435 31,68 31,68 299,32848 299,17008 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-22 9,4365 9,4315 31,54 31,54 297,62721 297,46951 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-23 9,4425 9,4375 31,65 31,65 298,855125 298,696875 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-27 9,4915 9,4865 31,68 31,68 300,69072 300,53232 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-28 9,4345 9,4295 31,47 31,47 296,903715 296,746365 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-29 9,4115 9,4065 31,65 31,65 297,873975 297,715725 281576 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Global Value Equity Fund EUR 2005-12-30 9,4325 9,4275 31,55 31,55 297,595375 297,437625 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-03 0,0649 0,0648 728,72 728,72 47,293928 47,221056 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-04 0,06545 0,06535 729,27 729,27 47,7307215 47,6577945 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-05 0,0653 0,0652 726,27 726,27 47,425431 47,352804 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-07 0,06565 0,06555 727,96 727,96 47,790574 47,717778 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-10 0,06651 0,06641 727,77 727,77 48,4039827 48,3312057 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-11 0,06651 0,06641 736,06 736,06 48,9553506 48,8817446 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-12 0,06685 0,06675 733,88 733,88 49,059878 48,98649 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-13 0,06685 0,06675 733,8 733,8 49,05453 48,98115 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-14 0,0672 0,0671 736,39 736,39 49,485408 49,411769 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-17 0,0679 0,0678 743,39 743,39 50,476181 50,401842 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-18 0,0679 0,0678 741,49 741,49 50,347171 50,273022 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-19 0,06745 0,06735 742,98 742,98 50,114001 50,039703 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-20 0,06765 0,06755 735,15 735,15 49,7328975 49,6593825 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-21 0,06725 0,06715 733,93 733,93 49,3567925 49,2833995 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-24 0,06745 0,06735 736,9 736,9 49,703905 49,630215 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-25 0,0674 0,0673 734 734 49,4716 49,3982 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-26 0,06755 0,06745 737,57 737,57 49,8228535 49,7490965 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-27 0,0672 0,0671 734,59 734,59 49,364448 49,290989 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-01-28 0,0677 0,0676 733,77 733,77 49,676229 49,602852 210500 Morgan Stanley Investment 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Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-08 0,06765 0,06755 744,03 744,03 50,3336295 50,2592265 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-09 0,06725 0,06715 744,08 744,08 50,03938 49,964972 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-10 0,06715 0,06705 745,22 745,22 50,041523 49,967001 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-11 0,06695 0,06685 745,23 745,23 49,8931485 49,8186255 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-14 0,0671 0,067 746,68 746,68 50,102228 50,02756 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-15 0,0667 0,0666 744,64 744,64 49,667488 49,593024 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-16 0,06635 0,06625 741,79 741,79 49,2177665 49,1435875 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-17 0,06615 0,06605 738,75 738,75 48,8683125 48,7944375 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-18 0,06615 0,06605 738,36 738,36 48,842514 48,768678 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-21 0,06605 0,06595 741,02 741,02 48,944371 48,870269 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-22 0,06605 0,06595 741,02 741,02 48,944371 48,870269 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-23 0,0658 0,0657 738,35 738,35 48,58343 48,509595 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-24 0,0655 0,0654 740,43 740,43 48,498165 48,424122 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-25 0,06545 0,06535 745,09 745,09 48,7661405 48,6916315 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-02-28 0,06545 0,06535 751,94 751,94 49,214473 49,139279 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-01 0,06565 0,06555 752,37 752,37 49,3930905 49,3178535 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-02 0,06585 0,06575 758,4 758,4 49,94064 49,8648 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-03 0,06575 0,06565 760,14 760,14 49,979205 49,903191 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-04 0,06545 0,06535 760,93 760,93 49,8028685 49,7267755 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-07 0,0652 0,0651 764,01 764,01 49,813452 49,737051 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-08 0,06505 0,06495 761,93 761,93 49,5635465 49,4873535 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-09 0,06465 0,06455 762,5 762,5 49,295625 49,219375 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-10 0,06485 0,06475 759,71 759,71 49,2671935 49,1912225 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-11 0,065 0,0649 761,85 761,85 49,52025 49,444065 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-14 0,0647 0,0646 760,79 760,79 49,223113 49,147034 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-15 0,06505 0,06495 759,89 759,89 49,4308445 49,3548555 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-16 0,06535 0,06525 761,7 761,7 49,777095 49,700925 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-17 0,0652 0,0651 760,37 760,37 49,576124 49,500087 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-18 0,0652 0,0651 766,63 766,63 49,984276 49,907613 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-21 0,0657 0,0656 766,44 766,44 50,355108 50,278464 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-22 0,06595 0,06585 767,22 767,22 50,598159 50,521437 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-23 0,06615 0,06605 763,01 763,01 50,4731115 50,3968105 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-24 0,0659 0,0658 759,62 759,62 50,058958 49,982996 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-29 0,06595 0,06585 757,28 757,28 49,942616 49,866888 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-30 0,06575 0,06565 754,9 754,9 49,634675 49,559185 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-03-31 0,06595 0,06585 762,63 762,63 50,2954485 50,2191855 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-01 0,06585 0,06575 762,91 762,91 50,2376235 50,1613325 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-04 0,06595 0,06585 763,56 763,56 50,356782 50,280426 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-05 0,06585 0,06575 768,08 768,08 50,578068 50,50126 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-06 0,06595 0,06585 770,37 770,37 50,8059015 50,7288645 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-07 0,06545 0,06535 771,54 771,54 50,497293 50,420139 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-08 0,0658 0,0657 775,32 775,32 51,016056 50,938524 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-11 0,06555 0,06545 772,05 772,05 50,6078775 50,5306725 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-12 0,06545 0,06535 766,97 766,97 50,1981865 50,1214895 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-13 0,0659 0,0658 765,03 765,03 50,415477 50,338974 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-14 0,06615 0,06605 760,89 760,89 50,3328735 50,2567845 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-15 0,06625 0,06615 751,34 751,34 49,776275 49,701141 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-18 0,0658 0,0657 726,57 726,57 47,808306 47,735649 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-19 0,06595 0,06585 736,12 736,12 48,547114 48,473502 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-20 0,0659 0,0658 742,48 742,48 48,929432 48,855184 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-21 0,0657 0,0656 737,09 737,09 48,426813 48,353104 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-22 0,06585 0,06575 744,88 744,88 49,050348 48,97586 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-25 0,0666 0,0665 745,77 745,77 49,668282 49,593705 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-26 0,0664 0,0663 745,79 745,79 49,520456 49,445877 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-27 0,06675 0,06665 747,12 747,12 49,87026 49,795548 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-28 0,0669 0,0668 747,16 747,16 49,985004 49,910288 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-04-29 0,06725 0,06715 747,04 747,04 50,23844 50,163736 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-02 0,068 0,0679 748,59 748,59 50,90412 50,829261 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-03 0,06825 0,06815 748,57 748,57 51,0899025 51,0150455 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-04 0,0679 0,0678 748,51 748,51 50,823829 50,748978 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-06 0,0677 0,0676 758,82 758,82 51,372114 51,296232 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-09 0,06805 0,06795 763,98 763,98 51,988839 51,912441 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-10 0,0678 0,0677 764,03 764,03 51,801234 51,724831 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-11 0,06765 0,06755 760,62 760,62 51,455943 51,379881 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-12 0,06815 0,06805 757,81 757,81 51,6447515 51,5689705 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-13 0,068 0,0679 754,49 754,49 51,30532 51,229871 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-17 0,06825 0,06815 738,37 738,37 50,3937525 50,3199155 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-18 0,06785 0,06775 736,47 736,47 49,9694895 49,8958425 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-19 0,06775 0,06765 748,75 748,75 50,7278125 50,6529375 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-20 0,0677 0,0676 747,97 747,97 50,637569 50,562772 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-23 0,06775 0,06765 752,73 752,73 50,9974575 50,9221845 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-24 0,0679 0,0678 750,73 750,73 50,974567 50,899494 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-25 0,06795 0,06785 742,98 742,98 50,485491 50,411193 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-26 0,06785 0,06775 740,87 740,87 50,2680295 50,1939425 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-27 0,06805 0,06795 746,8 746,8 50,81974 50,74506 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-30 0,068 0,0679 751,93 751,93 51,13124 51,056047 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-05-31 0,06835 0,06825 756,24 756,24 51,689004 51,61338 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-01 0,06855 0,06845 758,79 758,79 52,0150545 51,9391755 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-02 0,069 0,0689 760,51 760,51 52,47519 52,399139 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-03 0,06895 0,06885 761,93 761,93 52,5350735 52,4588805 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-07 0,06975 0,06965 757,88 757,88 52,86213 52,786342 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-08 0,0696 0,0695 761,14 761,14 52,975344 52,89923 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-09 0,0702 0,0701 756,46 756,46 53,103492 53,027846 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-10 0,0701 0,07 763,13 763,13 53,495413 53,4191 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-13 0,07035 0,07025 764,28 764,28 53,767098 53,69067 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-14 0,0701 0,07 763,38 763,38 53,512938 53,4366 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-15 0,07045 0,07035 766,34 766,34 53,988653 53,912019 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-16 0,07025 0,07015 768,24 768,24 53,96886 53,892036 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-17 0,0702 0,0701 773,45 773,45 54,29619 54,218845 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-20 0,06935 0,06925 772,68 772,68 53,585358 53,50809 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-21 0,06995 0,06985 774,12 774,12 54,149694 54,072282 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-22 0,07015 0,07005 779,06 779,06 54,651059 54,573153 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-27 0,07085 0,07075 777,72 777,72 55,101462 55,02369 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-28 0,0707 0,0706 782,86 782,86 55,348202 55,269916 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-29 0,0711 0,071 787,34 787,34 55,979874 55,90114 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-06-30 0,0709 0,0708 789,28 789,28 55,959952 55,881024 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-01 0,07065 0,07055 790,91 790,91 55,8777915 55,7987005 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-04 0,07125 0,07115 793,2 793,2 56,5155 56,43618 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-05 0,07115 0,07105 790,9 790,9 56,272535 56,193445 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-06 0,07075 0,07065 790,9 790,9 55,956175 55,877085 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-07 0,07025 0,07015 788,59 788,59 55,3984475 55,3195885 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-08 0,07045 0,07035 786,91 786,91 55,4378095 55,3591185 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-11 0,0705 0,0704 789,66 789,66 55,67103 55,592064 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-12 0,0699 0,0698 792,81 792,81 55,417419 55,338138 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-13 0,06915 0,06905 793,3 793,3 54,856695 54,777365 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-14 0,0694 0,0693 796,51 796,51 55,277794 55,198143 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-15 0,0694 0,0693 798,57 798,57 55,420758 55,340901 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-18 0,0694 0,0693 798,36 798,36 55,406184 55,326348 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-19 0,06995 0,06985 797,08 797,08 55,755746 55,676038 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-20 0,0691 0,069 800,66 800,66 55,325606 55,24554 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-21 0,06925 0,06915 799,52 799,52 55,36676 55,286808 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-22 0,06995 0,06985 795,27 795,27 55,6291365 55,5496095 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-25 0,07005 0,06995 796,43 796,43 55,7899215 55,7102785 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-26 0,06995 0,06985 794,06 794,06 55,544497 55,465091 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-27 0,07015 0,07005 797,93 797,93 55,9747895 55,8949965 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-28 0,0697 0,0696 798,26 798,26 55,638722 55,558896 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-07-29 0,06915 0,06905 799,47 799,47 55,2833505 55,2034035 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-01 0,0689 0,0688 799,53 799,53 55,087617 55,007664 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-02 0,0691 0,069 795,12 795,12 54,942792 54,86328 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-03 0,06885 0,06875 793,29 793,29 54,6180165 54,5386875 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-04 0,0686 0,0685 786,58 786,58 53,959388 53,88073 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-05 0,0678 0,0677 778,76 778,76 52,799928 52,722052 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-08 0,0674 0,0673 778,71 778,71 52,485054 52,407183 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-09 0,06745 0,06735 788,56 788,56 53,188372 53,109516 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-10 0,06805 0,06795 797,99 797,99 54,3032195 54,2234205 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-11 0,06825 0,06815 801,78 801,78 54,721485 54,641307 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-12 0,06805 0,06795 801,14 801,14 54,517577 54,437463 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-16 0,06895 0,06885 806,89 806,89 55,6350655 55,5543765 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-17 0,06915 0,06905 803,21 803,21 55,5419715 55,4616505 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-18 0,0691 0,069 805,36 805,36 55,650376 55,56984 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-19 0,06965 0,06955 802,99 802,99 55,9282535 55,8479545 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-22 0,07 0,0699 807,46 807,46 56,5222 56,441454 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-23 0,06965 0,06955 808,6 808,6 56,31899 56,23813 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-24 0,0694 0,0693 809,71 809,71 56,193874 56,112903 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-25 0,06905 0,06895 810,89 810,89 55,9919545 55,9108655 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-26 0,069 0,0689 813,47 813,47 56,12943 56,048083 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-29 0,0687 0,0686 810,09 810,09 55,653183 55,572174 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-30 0,0688 0,0687 814,63 814,63 56,046544 55,965081 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-08-31 0,0688 0,0687 813,65 813,65 55,97912 55,897755 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-01 0,06825 0,06815 818,11 818,11 55,8360075 55,7541965 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-02 0,0678 0,0677 821,5 821,5 55,6977 55,61555 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-05 0,06775 0,06765 823,99 823,99 55,8253225 55,7429235 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-06 0,06825 0,06815 819,6 819,6 55,9377 55,85574 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-07 0,0678 0,0677 819,94 819,94 55,591932 55,509938 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-08 0,068 0,0679 814,18 814,18 55,36424 55,282822 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-09 0,0681 0,068 818,41 818,41 55,733721 55,65188 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-12 0,06875 0,06865 826,36 826,36 56,81225 56,729614 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-13 0,0685 0,0684 832,99 832,99 57,059815 56,976516 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-14 0,0688 0,0687 832,83 832,83 57,298704 57,215421 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-15 0,06925 0,06915 837,85 837,85 58,0211125 57,9373275 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-16 0,0688 0,0687 838,2 838,2 57,66816 57,58434 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-19 0,06905 0,06895 837,97 837,97 57,8618285 57,7780315 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-20 0,0691 0,069 844,82 844,82 58,377062 58,29258 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-21 0,06865 0,06855 838,91 838,91 57,5911715 57,5072805 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-22 0,06875 0,06865 835,12 835,12 57,4145 57,330988 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-23 0,0692 0,0691 835,01 835,01 57,782692 57,699191 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-26 0,06935 0,06925 845,78 845,78 58,654843 58,570265 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-27 0,0693 0,0692 841,06 841,06 58,285458 58,201352 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-28 0,06915 0,06905 848,95 848,95 58,7048925 58,6199975 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-29 0,06895 0,06885 852,64 852,64 58,789528 58,704264 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-09-30 0,06865 0,06855 853,42 853,42 58,587283 58,501941 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-03 0,06835 0,06825 859,56 859,56 58,750926 58,66497 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-04 0,0685 0,0684 868,88 868,88 59,51828 59,431392 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-05 0,06845 0,06835 867,27 867,27 59,3646315 59,2779045 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-06 0,06785 0,06775 853,77 853,77 57,9282945 57,8429175 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-07 0,06775 0,06765 853,01 853,01 57,7914275 57,7061265 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-10 0,06775 0,06765 852,71 852,71 57,7711025 57,6858315 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-11 0,0681 0,068 858,98 858,98 58,496538 58,41064 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-12 0,0681 0,068 858,6 858,6 58,47066 58,3848 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-13 0,0682 0,0681 859,04 859,04 58,586528 58,500624 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-14 0,0684 0,0683 859,03 859,03 58,757652 58,671749 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-17 0,0686 0,0685 863,2 863,2 59,21552 59,1292 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-18 0,0684 0,0683 857,63 857,63 58,661892 58,576129 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-19 0,06865 0,06855 854,3 854,3 58,647695 58,562265 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-20 0,0686 0,0685 854,25 854,25 58,60155 58,516125 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-21 0,06845 0,06835 852,42 852,42 58,348149 58,262907 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-24 0,0692 0,0691 850,28 850,28 58,839376 58,754348 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-25 0,0691 0,069 853,47 853,47 58,974777 58,88943 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-26 0,06825 0,06815 858,61 858,61 58,6001325 58,5142715 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-27 0,06825 0,06815 859,81 859,81 58,6820325 58,5960515 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-28 0,06795 0,06785 863,65 863,65 58,6850175 58,5986525 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-10-31 0,0684 0,0683 878,55 878,55 60,09282 60,004965 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-02 0,06825 0,06815 890,34 890,34 60,765705 60,676671 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-03 0,06855 0,06845 897,36 897,36 61,514028 61,424292 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-04 0,06825 0,06815 899,9 899,9 61,418175 61,328185 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-07 0,069 0,0689 902,5 902,5 62,2725 62,18225 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-08 0,0693 0,0692 900,57 900,57 62,409501 62,319444 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-09 0,0692 0,0691 894,43 894,43 61,894556 61,805113 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-10 0,06945 0,06935 896,96 896,96 62,293872 62,204176 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-11 0,0699 0,0698 900,93 900,93 62,975007 62,884914 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-14 0,0689 0,0688 897,82 897,82 61,859798 61,770016 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-15 0,0689 0,0688 892,85 892,85 61,517365 61,42808 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-16 0,06895 0,06885 898,67 898,67 61,9632965 61,8734295 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-17 0,06955 0,06945 908,1 908,1 63,158355 63,067545 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-18 0,0689 0,0688 919,84 919,84 63,376976 63,284992 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-21 0,0682 0,0681 921,95 921,95 62,87699 62,784795 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-22 0,06845 0,06835 928,39 928,39 63,5482955 63,4554565 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-23 0,068 0,0679 928,31 928,31 63,12508 63,032249 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-24 0,06785 0,06775 931,74 931,74 63,218559 63,125385 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-25 0,06775 0,06765 934,9 934,9 63,339475 63,245985 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-28 0,0677 0,0676 944,02 944,02 63,910154 63,815752 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-29 0,06735 0,06725 950,88 950,88 64,041768 63,94668 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-11-30 0,0677 0,0676 954,83 954,83 64,641991 64,546508 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-01 0,06745 0,06735 972,66 972,66 65,605917 65,508651 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-02 0,0672 0,0671 986 986 66,2592 66,1606 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-05 0,06635 0,06625 995,59 995,59 66,0573965 65,9578375 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-06 0,066 0,0659 986,11 986,11 65,08326 64,984649 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-07 0,06635 0,06625 987,73 987,73 65,5358855 65,4371125 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-08 0,06635 0,06625 980,46 980,46 65,053521 64,955475 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-12 0,06595 0,06585 1001,44 1001,44 66,044968 65,944824 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-13 0,06585 0,06575 1007,45 1007,45 66,3405825 66,2398375 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-14 0,0662 0,0661 1001,71 1001,71 66,313202 66,213031 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-15 0,06745 0,06735 992,61 992,61 66,9515445 66,8522835 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-16 0,06805 0,06795 1001,64 1001,64 68,161602 68,061438 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-19 0,06765 0,06755 1007,05 1007,05 68,1269325 68,0262275 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-20 0,06735 0,06725 1020,64 1020,64 68,740104 68,63804 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-21 0,06795 0,06785 1031,85 1031,85 70,1142075 70,0110225 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-22 0,06795 0,06785 1035,4 1035,4 70,35543 70,25189 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-23 0,06825 0,06815 1035,32 1035,32 70,66059 70,557058 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-27 0,06855 0,06845 1048,73 1048,73 71,8904415 71,7855685 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-28 0,06765 0,06755 1061,2 1061,2 71,79018 71,68406 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-29 0,0674 0,0673 1076,69 1076,69 72,568906 72,461237 210500 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Equity Growth Fund JPY 2005-12-30 0,06785 0,06775 1073,79 1073,79 72,8566515 72,7492725 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-03 9,0065 9,0015 5,91 5,91 53,228415 53,198865 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-04 9,0345 9,0295 5,96 5,96 53,84562 53,81582 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-05 9,0615 9,0565 5,92 5,92 53,64408 53,61448 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-07 9,0615 9,0565 5,92 5,92 53,64408 53,61448 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-10 9,08619 9,08119 5,97 5,97 54,2445543 54,2147043 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-11 9,08619 9,08119 6,02 6,02 54,6988638 54,6687638 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-12 9,0455 9,0405 6,03 6,03 54,544365 54,514215 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-13 9,0505 9,0455 5,96 5,96 53,94098 53,91118 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-14 9,0455 9,0405 6,06 6,06 54,81573 54,78543 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-17 9,0685 9,0635 6,13 6,13 55,589905 55,559255 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-18 9,0585 9,0535 6,06 6,06 54,89451 54,86421 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-19 9,0225 9,0175 6,07 6,07 54,766575 54,736225 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-20 9,0315 9,0265 6,03 6,03 54,459945 54,429795 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-21 9,0505 9,0455 5,96 5,96 53,94098 53,91118 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-24 9,0655 9,0605 5,97 5,97 54,121035 54,091185 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-25 9,0715 9,0665 5,94 5,94 53,88471 53,85501 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-26 9,0885 9,0835 6,01 6,01 54,621885 54,591835 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-27 9,0675 9,0625 5,98 5,98 54,22365 54,19375 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-28 9,0955 9,0905 5,98 5,98 54,39109 54,36119 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-01-31 9,1075 9,1025 6 6 54,645 54,615 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-01 9,1035 9,0985 5,99 5,99 54,529965 54,500015 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-02 9,0905 9,0855 6,01 6,01 54,633905 54,603855 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-03 9,0695 9,0645 5,97 5,97 54,144915 54,115065 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-04 9,0895 9,0845 5,99 5,99 54,446105 54,416155 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-07 9,0755 9,0705 6,09 6,09 55,269795 55,239345 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-08 9,0895 9,0845 6,05 6,05 54,991475 54,961225 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-09 9,0695 9,0645 6,06 6,06 54,96117 54,93087 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-10 9,0805 9,0755 6,04 6,04 54,84622 54,81602 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-11 9,0935 9,0885 6,02 6,02 54,74287 54,71277 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-14 9,1105 9,1055 6,05 6,05 55,118525 55,088275 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-15 9,0765 9,0715 6,06 6,06 55,00359 54,97329 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-16 9,0705 9,0655 6,02 6,02 54,60441 54,57431 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-17 9,0925 9,0875 5,96 5,96 54,1913 54,1615 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-18 9,0945 9,0895 6 6 54,567 54,537 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-21 9,1185 9,1135 5,98 5,98 54,52863 54,49873 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-22 9,0975 9,0925 5,99 5,99 54,494025 54,464075 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-23 9,1045 9,0995 5,9 5,9 53,71655 53,68705 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-24 9,0715 9,0665 5,9 5,9 53,52185 53,49235 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-25 9,0845 9,0795 5,96 5,96 54,14362 54,11382 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-02-28 9,0505 9,0455 6,03 6,03 54,574515 54,544365 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-01 9,0565 9,0515 6,06 6,06 54,88239 54,85209 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-02 9,0645 9,0595 6,1 6,1 55,29345 55,26295 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-03 9,0675 9,0625 6,11 6,11 55,402425 55,371875 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-04 9,0415 9,0365 6,1 6,1 55,15315 55,12265 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-07 9,0425 9,0375 6,1 6,1 55,15925 55,12875 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-08 9,0345 9,0295 6,08 6,08 54,92976 54,89936 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-09 9,0365 9,0315 6,1 6,1 55,12265 55,09215 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-10 9,0655 9,0605 6,03 6,03 54,664965 54,634815 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-11 9,0795 9,0745 6,05 6,05 54,930975 54,900725 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-14 9,0695 9,0645 5,96 5,96 54,05422 54,02442 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-15 9,1035 9,0985 5,99 5,99 54,529965 54,500015 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-16 9,0975 9,0925 6,03 6,03 54,857925 54,827775 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-17 9,1045 9,0995 5,98 5,98 54,44491 54,41501 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-18 9,1035 9,0985 6,03 6,03 54,894105 54,863955 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-21 9,1265 9,1215 6,05 6,05 55,215325 55,185075 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-22 9,1265 9,1215 6,06 6,06 55,30659 55,27629 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-23 9,1165 9,1115 6,04 6,04 55,06366 55,03346 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-24 9,1135 9,1085 6 6 54,681 54,651 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-29 9,1315 9,1265 5,97 5,97 54,515055 54,485205 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-30 9,1425 9,1375 5,92 5,92 54,1236 54,094 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-03-31 9,1405 9,1355 6,02 6,02 55,02581 54,99571 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-01 9,1645 9,1595 6,01 6,01 55,078645 55,048595 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-04 9,1695 9,1645 6 6 55,017 54,987 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-05 9,1745 9,1695 6,05 6,05 55,505725 55,475475 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-06 9,1705 9,1655 6,07 6,07 55,664935 55,634585 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-07 9,1505 9,1455 6,08 6,08 55,63504 55,60464 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-08 9,1625 9,1575 6,11 6,11 55,982875 55,952325 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-11 9,1705 9,1655 6,03 6,03 55,298115 55,267965 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-12 9,1525 9,1475 5,97 5,97 54,640425 54,610575 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-13 9,1495 9,1445 6,02 6,02 55,07999 55,04989 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-14 9,1685 9,1635 6 6 55,011 54,981 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-15 9,1925 9,1875 5,88 5,88 54,0519 54,0225 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-18 9,1805 9,1755 5,66 5,66 51,96163 51,93333 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-19 9,2035 9,1985 5,73 5,73 52,736055 52,707405 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-20 9,1915 9,1865 5,76 5,76 52,94304 52,91424 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-21 9,1855 9,1805 5,68 5,68 52,17364 52,14524 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-22 9,1625 9,1575 5,77 5,77 52,867625 52,838775 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-25 9,1685 9,1635 5,85 5,85 53,635725 53,606475 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-26 9,1375 9,1325 5,82 5,82 53,18025 53,15115 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-27 9,1465 9,1415 5,83 5,83 53,324095 53,294945 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-28 9,1505 9,1455 5,86 5,86 53,62193 53,59263 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-04-29 9,1705 9,1655 5,88 5,88 53,92254 53,89314 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-02 9,1935 9,1885 5,91 5,91 54,333585 54,304035 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-03 9,2245 9,2195 5,92 5,92 54,60904 54,57944 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-04 9,1915 9,1865 5,92 5,92 54,41368 54,38408 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-06 9,1715 9,1665 6,01 6,01 55,120715 55,090665 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-09 9,1815 9,1765 6,04 6,04 55,45626 55,42606 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-10 9,1985 9,1935 5,98 5,98 55,00703 54,97713 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-11 9,2105 9,2055 5,97 5,97 54,986685 54,956835 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-12 9,2315 9,2265 5,94 5,94 54,83511 54,80541 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-13 9,2045 9,1995 5,93 5,93 54,582685 54,553035 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-17 9,2325 9,2275 5,82 5,82 53,73315 53,70405 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-18 9,2095 9,2045 5,83 5,83 53,691385 53,662235 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-19 9,1905 9,1855 5,94 5,94 54,59157 54,56187 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-20 9,1955 9,1905 5,92 5,92 54,43736 54,40776 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-23 9,1805 9,1755 6 6 55,083 55,053 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-24 9,1815 9,1765 6 6 55,089 55,059 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-25 9,1785 9,1735 5,93 5,93 54,428505 54,398855 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-26 9,1945 9,1895 5,93 5,93 54,523385 54,493735 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-27 9,1955 9,1905 5,99 5,99 55,081045 55,051095 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-30 9,1905 9,1855 6,04 6,04 55,51062 55,48042 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-05-31 9,1665 9,1615 6,12 6,12 56,09898 56,06838 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-01 9,1455 9,1405 6,14 6,14 56,15337 56,12267 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-02 9,1565 9,1515 6,15 6,15 56,312475 56,281725 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-03 9,1315 9,1265 6,15 6,15 56,158725 56,127975 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-07 9,1455 9,1405 6,18 6,18 56,51919 56,48829 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-08 9,1455 9,1405 6,19 6,19 56,610645 56,579695 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-09 9,1965 9,1915 6,15 6,15 56,558475 56,527725 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-10 9,1975 9,1925 6,2 6,2 57,0245 56,9935 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-13 9,2365 9,2315 6,19 6,19 57,173935 57,142985 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-14 9,2985 9,2935 6,18 6,18 57,46473 57,43383 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-15 9,2695 9,2645 6,24 6,24 57,84168 57,81048 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-16 9,2695 9,2645 6,21 6,21 57,563595 57,532545 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-17 9,2695 9,2645 6,26 6,26 58,02707 57,99577 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-20 9,2255 9,2205 6,24 6,24 57,56712 57,53592 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-21 9,2725 9,2675 6,27 6,27 58,138575 58,107225 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-22 9,2615 9,2565 6,29 6,29 58,254835 58,223385 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-27 9,3855 9,3805 6,19 6,19 58,096245 58,065295 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-28 9,3995 9,3945 6,24 6,24 58,65288 58,62168 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-29 9,4215 9,4165 6,26 6,26 58,97859 58,94729 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-06-30 9,4415 9,4365 6,26 6,26 59,10379 59,07249 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-01 9,4595 9,4545 6,24 6,24 59,02728 58,99608 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-04 9,4795 9,4745 6,34 6,34 60,10003 60,06833 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-05 9,4575 9,4525 6,32 6,32 59,7714 59,7398 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-06 9,4195 9,4145 6,31 6,31 59,437045 59,405495 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-07 9,3965 9,3915 6,26 6,26 58,82209 58,79079 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-08 9,4175 9,4125 6,25 6,25 58,859375 58,828125 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-11 9,4665 9,4615 6,25 6,25 59,165625 59,134375 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-12 9,4645 9,4595 6,23 6,23 58,963835 58,932685 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-13 9,3915 9,3865 6,2 6,2 58,2273 58,1963 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-14 9,3675 9,3625 6,26 6,26 58,64055 58,60925 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-15 9,4055 9,4005 6,26 6,26 58,87843 58,84713 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-18 9,3895 9,3845 6,26 6,26 58,77827 58,74697 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-19 9,4425 9,4375 6,27 6,27 59,204475 59,173125 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-20 9,4265 9,4215 6,23 6,23 58,727095 58,695945 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-21 9,4625 9,4575 6,22 6,22 58,85675 58,82565 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-22 9,4495 9,4445 6,25 6,25 59,059375 59,028125 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-25 9,4275 9,4225 6,26 6,26 59,01615 58,98485 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-26 9,4155 9,4105 6,26 6,26 58,94103 58,90973 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-27 9,4725 9,4675 6,29 6,29 59,582025 59,550575 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-28 9,4515 9,4465 6,24 6,24 58,97736 58,94616 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-07-29 9,3885 9,3835 6,25 6,25 58,678125 58,646875 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-01 9,3985 9,3935 6,22 6,22 58,45867 58,42757 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-02 9,3995 9,3945 6,22 6,22 58,46489 58,43379 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-03 9,3755 9,3705 6,21 6,21 58,221855 58,190805 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-04 9,3735 9,3685 6,15 6,15 57,647025 57,616275 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-05 9,3355 9,3305 6,07 6,07 56,666485 56,636135 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-08 9,3335 9,3285 6,07 6,07 56,654345 56,623995 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-09 9,3455 9,3405 6,11 6,11 57,101005 57,070455 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-10 9,3535 9,3485 6,25 6,25 58,459375 58,428125 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-11 9,3365 9,3315 6,31 6,31 58,913315 58,881765 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-12 9,3025 9,2975 6,32 6,32 58,7918 58,7602 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-16 9,2995 9,2945 6,43 6,43 59,795785 59,763635 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-17 9,3405 9,3355 6,4 6,4 59,7792 59,7472 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-18 9,3365 9,3315 6,42 6,42 59,94033 59,90823 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-19 9,3395 9,3345 6,43 6,43 60,052985 60,020835 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-22 9,3655 9,3605 6,51 6,51 60,969405 60,936855 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-23 9,3715 9,3665 6,51 6,51 61,008465 60,975915 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-24 9,3365 9,3315 6,5 6,5 60,68725 60,65475 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-25 9,3335 9,3285 6,47 6,47 60,387745 60,355395 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-26 9,3415 9,3365 6,5 6,5 60,71975 60,68725 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-29 9,3295 9,3245 6,38 6,38 59,52221 59,49031 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-30 9,3285 9,3235 6,45 6,45 60,168825 60,136575 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-08-31 9,3585 9,3535 6,42 6,42 60,08157 60,04947 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-01 9,3365 9,3315 6,44 6,44 60,12706 60,09486 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-02 9,3025 9,2975 6,43 6,43 59,815075 59,782925 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-05 9,2845 9,2795 6,5 6,5 60,34925 60,31675 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-06 9,3225 9,3175 6,47 6,47 60,316575 60,284225 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-07 9,3075 9,3025 6,47 6,47 60,219525 60,187175 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-08 9,3255 9,3205 6,42 6,42 59,86971 59,83761 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-09 9,3445 9,3395 6,5 6,5 60,73925 60,70675 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-12 9,3015 9,2965 6,65 6,65 61,854975 61,821725 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-13 9,3015 9,2965 6,62 6,62 61,57593 61,54283 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-14 9,3365 9,3315 6,65 6,65 62,087725 62,054475 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-15 9,3425 9,3375 6,74 6,74 62,96845 62,93475 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-16 9,3465 9,3415 6,66 6,66 62,24769 62,21439 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-19 9,3355 9,3305 6,7 6,7 62,54785 62,51435 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-20 9,3395 9,3345 6,75 6,75 63,041625 63,007875 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-21 9,3405 9,3355 6,78 6,78 63,32859 63,29469 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-22 9,3405 9,3355 6,75 6,75 63,048375 63,014625 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-23 9,3695 9,3645 6,79 6,79 63,618905 63,584955 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-26 9,3815 9,3765 6,89 6,89 64,638535 64,604085 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-27 9,3885 9,3835 6,86 6,86 64,40511 64,37081 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-28 9,3935 9,3885 6,94 6,94 65,19089 65,15619 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-29 9,3845 9,3795 7,02 7,02 65,87919 65,84409 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-09-30 9,3435 9,3385 6,94 6,94 64,84389 64,80919 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-03 9,3025 9,2975 6,97 6,97 64,838425 64,803575 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-04 9,3185 9,3135 7,11 7,11 66,254535 66,218985 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-05 9,3105 9,3055 7,09 7,09 66,011445 65,975995 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-06 9,3015 9,2965 6,83 6,83 63,529245 63,495095 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-07 9,3385 9,3335 6,79 6,79 63,408415 63,374465 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-10 9,3465 9,3415 6,78 6,78 63,36927 63,33537 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-11 9,3395 9,3345 6,93 6,93 64,722735 64,688085 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-12 9,3375 9,3325 6,9 6,9 64,42875 64,39425 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-13 9,3815 9,3765 6,86 6,86 64,35709 64,32279 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-14 9,4135 9,4085 6,86 6,86 64,57661 64,54231 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-17 9,4575 9,4525 6,82 6,82 64,50015 64,46605 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-18 9,4625 9,4575 6,8 6,8 64,345 64,311 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-19 9,4605 9,4555 6,74 6,74 63,76377 63,73007 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-20 9,4935 9,4885 6,75 6,75 64,081125 64,047375 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-21 9,4915 9,4865 6,73 6,73 63,877795 63,844145 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-24 9,5455 9,5405 6,73 6,73 64,241215 64,207565 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-25 9,5465 9,5415 6,73 6,73 64,247945 64,214295 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-26 9,4975 9,4925 6,76 6,76 64,2031 64,1693 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-27 9,5355 9,5305 6,73 6,73 64,173915 64,140265 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-28 9,5135 9,5085 6,75 6,75 64,216125 64,182375 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-10-31 9,5495 9,5445 6,9 6,9 65,89155 65,85705 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-02 9,5855 9,5805 6,92 6,92 66,33166 66,29706 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-03 9,6515 9,6465 6,99 6,99 67,463985 67,429035 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-04 9,5875 9,5825 7,02 7,02 67,30425 67,26915 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-07 9,6075 9,6025 7,05 7,05 67,732875 67,697625 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-08 9,5685 9,5635 7,11 7,11 68,032035 67,996485 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-09 9,5575 9,5525 7,14 7,14 68,24055 68,20485 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-10 9,6105 9,6055 7,14 7,14 68,61897 68,58327 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-11 9,6365 9,6315 7,19 7,19 69,286435 69,250485 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-14 9,5505 9,5455 7,12 7,12 67,99956 67,96396 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-15 9,5805 9,5755 7,06 7,06 67,63833 67,60303 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-16 9,6235 9,6185 7,14 7,14 68,71179 68,67609 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-17 9,6355 9,6305 7,25 7,25 69,857375 69,821125 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-18 9,6085 9,6035 7,32 7,32 70,33422 70,29762 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-21 9,5915 9,5865 7,35 7,35 70,497525 70,460775 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-22 9,5585 9,5535 7,37 7,37 70,446145 70,409295 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-23 9,5155 9,5105 7,37 7,37 70,129235 70,092385 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-24 9,5125 9,5075 7,35 7,35 69,916875 69,880125 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-25 9,4965 9,4915 7,34 7,34 69,70431 69,66761 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-28 9,4835 9,4785 7,43 7,43 70,462405 70,425255 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-29 9,4785 9,4735 7,44 7,44 70,52004 70,48284 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-11-30 9,5295 9,5245 7,41 7,41 70,613595 70,576545 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-01 9,5165 9,5115 7,58 7,58 72,13507 72,09717 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-02 9,4905 9,4855 7,6 7,6 72,1278 72,0898 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-05 9,4065 9,4015 7,62 7,62 71,67753 71,63943 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-06 9,4185 9,4135 7,51 7,51 70,732935 70,695385 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-07 9,4255 9,4205 7,56 7,56 71,25678 71,21898 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-08 9,3965 9,3915 7,41 7,41 69,628065 69,591015 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-12 9,4315 9,4265 7,54 7,54 71,11351 71,07581 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-13 9,4295 9,4245 7,59 7,59 71,569905 71,531955 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-14 9,4365 9,4315 7,59 7,59 71,623035 71,585085 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-15 9,4345 9,4295 7,56 7,56 71,32482 71,28702 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-16 9,4765 9,4715 7,58 7,58 71,83187 71,79397 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-19 9,4535 9,4485 7,61 7,61 71,941135 71,903085 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-20 9,4015 9,3965 7,69 7,69 72,297535 72,259085 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-21 9,4485 9,4435 7,81 7,81 73,792785 73,753735 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-22 9,4365 9,4315 7,84 7,84 73,98216 73,94296 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-23 9,4425 9,4375 7,84 7,84 74,0292 73,99 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-27 9,4915 9,4865 7,76 7,76 73,65404 73,61524 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-28 9,4345 9,4295 7,79 7,79 73,494755 73,455805 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-29 9,4115 9,4065 7,84 7,84 73,78616 73,74696 245746 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Japanese Value Equity Fund EUR 2005-12-30 9,4325 9,4275 7,83 7,83 73,856475 73,817325 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-03 6,668 6,658 22,42 22,42 149,49656 149,27236 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-04 6,728 6,718 22,1 22,1 148,6888 148,4678 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-05 6,828 6,818 21,26 21,26 145,16328 144,95068 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-07 6,87 6,86 21,01 21,01 144,3387 144,1286 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-10 6,96091 6,95091 21,2 21,2 147,571292 147,359292 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-11 6,96091 6,95091 21,12 21,12 147,0144192 146,8032192 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-12 6,913 6,903 20,85 20,85 144,13605 143,92755 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-13 6,843 6,833 21,08 21,08 144,25044 144,03964 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-14 6,915 6,905 21,28 21,28 147,1512 146,9384 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-17 6,915 6,905 21,66 21,66 149,7789 149,5623 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-18 6,968 6,958 21,62 21,62 150,64816 150,43196 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-19 6,91 6,9 21,52 21,52 148,7032 148,488 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-20 6,96 6,95 21,52 21,52 149,7792 149,564 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-21 6,978 6,968 21,05 21,05 146,8869 146,6764 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-24 6,933 6,923 21,28 21,28 147,53424 147,32144 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-25 6,95 6,94 21,46 21,46 149,147 148,9324 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-26 6,995 6,985 21,5 21,5 150,3925 150,1775 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-27 6,93 6,92 21,89 21,89 151,6977 151,4788 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-28 6,985 6,975 21,63 21,63 151,08555 150,86925 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-01-31 6,998 6,988 21,73 21,73 152,06654 151,84924 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-01 6,993 6,983 22,15 22,15 154,89495 154,67345 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-02 6,953 6,943 22,33 22,33 155,26049 155,03719 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-03 6,968 6,958 22,62 22,62 157,61616 157,38996 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-04 7,01 7 22,84 22,84 160,1084 159,88 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-07 7,065 7,055 23,19 23,19 163,83735 163,60545 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-08 7,123 7,113 23,35 23,35 166,32205 166,08855 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-09 7,1 7,09 23,41 23,41 166,211 165,9769 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-10 7,088 7,078 23,6 23,6 167,2768 167,0408 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-11 7,068 7,058 23,57 23,57 166,59276 166,35706 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-14 7,03 7,02 23,75 23,75 166,9625 166,725 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-15 7,005 6,995 23,81 23,81 166,78905 166,55095 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-16 6,973 6,963 23,88 23,88 166,51524 166,27644 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-17 6,97 6,96 23,89 23,89 166,5133 166,2744 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-18 6,965 6,955 24,14 24,14 168,1351 167,8937 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-21 6,978 6,968 24,03 24,03 167,68134 167,44104 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-22 6,905 6,895 24,03 24,03 165,92715 165,68685 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-23 6,895 6,885 24,02 24,02 165,6179 165,3777 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-24 6,858 6,848 24,34 24,34 166,92372 166,68032 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-25 6,885 6,875 24,86 24,86 171,1611 170,9125 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-02-28 6,828 6,818 25,09 25,09 171,31452 171,06362 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-01 6,87 6,86 24,96 24,96 171,4752 171,2256 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-02 6,888 6,878 24,63 24,63 169,65144 169,40514 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-03 6,903 6,893 24,72 24,72 170,64216 170,39496 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-04 6,9 6,89 24,78 24,78 170,982 170,7342 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-07 6,84 6,83 25,26 25,26 172,7784 172,5258 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-08 6,825 6,815 25,27 25,27 172,46775 172,21505 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-09 6,76 6,75 24,91 24,91 168,3916 168,1425 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-10 6,745 6,735 24,45 24,45 164,91525 164,67075 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-11 6,765 6,755 24,01 24,01 162,42765 162,18755 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-14 6,76 6,75 23,93 23,93 161,7668 161,5275 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-15 6,815 6,805 23,35 23,35 159,13025 158,89675 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-16 6,81 6,8 23,03 23,03 156,8343 156,604 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-17 6,795 6,785 23,07 23,07 156,76065 156,52995 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-18 6,828 6,818 23,58 23,58 161,00424 160,76844 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-21 6,908 6,898 23,35 23,35 161,3018 161,0683 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-22 6,928 6,918 23,07 23,07 159,82896 159,59826 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-23 6,973 6,963 22,7 22,7 158,2871 158,0601 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-24 7,008 6,998 22,08 22,08 154,73664 154,51584 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-29 7,055 7,045 22,16 22,16 156,3388 156,1172 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-30 7,053 7,043 21,82 21,82 153,89646 153,67826 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-03-31 7,065 7,055 22,4 22,4 158,256 158,032 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-01 7,07 7,06 22,66 22,66 160,2062 159,9796 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-04 7,113 7,103 22,83 22,83 162,38979 162,16149 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-05 7,163 7,153 22,59 22,59 161,81217 161,58627 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-06 7,125 7,115 22,34 22,34 159,1725 158,9491 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-07 7,083 7,073 22,26 22,26 157,66758 157,44498 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-08 7,153 7,143 22,71 22,71 162,44463 162,21753 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-11 7,098 7,088 22,73 22,73 161,33754 161,11024 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-12 7,048 7,038 22,72 22,72 160,13056 159,90336 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-13 7,075 7,065 22,82 22,82 161,4515 161,2233 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-14 7,12 7,11 22,67 22,67 161,4104 161,1837 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-15 7,17 7,16 21,91 21,91 157,0947 156,8756 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-18 7,08 7,07 21,38 21,38 151,3704 151,1566 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-19 7,068 7,058 21,41 21,41 151,32588 151,11178 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-20 7,043 7,033 22,18 22,18 156,21374 155,99194 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-21 7,025 7,015 21,84 21,84 153,426 153,2076 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-22 7,023 7,013 22,21 22,21 155,98083 155,75873 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-25 7,04 7,03 22 22 154,88 154,66 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-26 7,035 7,025 22,55 22,55 158,63925 158,41375 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-27 7,085 7,075 22,65 22,65 160,47525 160,24875 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-28 7,085 7,075 22,49 22,49 159,34165 159,11675 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-04-29 7,08 7,07 21,73 21,73 153,8484 153,6311 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-02 7,15 7,14 22,02 22,02 157,443 157,2228 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-03 7,178 7,168 22,21 22,21 159,42338 159,20128 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-04 7,11 7,1 22,22 22,22 157,9842 157,762 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-06 7,085 7,075 22,92 22,92 162,3882 162,159 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-09 7,168 7,158 23,07 23,07 165,36576 165,13506 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-10 7,178 7,168 23,09 23,09 165,74002 165,50912 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-11 7,15 7,14 22,53 22,53 161,0895 160,8642 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-12 7,243 7,233 22,62 22,62 163,83666 163,61046 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-13 7,265 7,255 22,13 22,13 160,77445 160,55315 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-17 7,313 7,303 22,17 22,17 162,12921 161,90751 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-18 7,3 7,29 22,28 22,28 162,644 162,4212 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-19 7,26 7,25 22,87 22,87 166,0362 165,8075 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-20 7,28 7,27 22,92 22,92 166,8576 166,6284 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-23 7,32 7,31 22,87 22,87 167,4084 167,1797 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-24 7,295 7,285 22,87 22,87 166,83665 166,60795 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-25 7,298 7,288 23,04 23,04 168,14592 167,91552 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-26 7,33 7,32 23,12 23,12 169,4696 169,2384 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-27 7,338 7,328 23,31 23,31 171,04878 170,81568 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-30 7,338 7,328 23,66 23,66 173,61708 173,38048 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-05-31 7,403 7,393 23,73 23,73 175,67319 175,43589 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-01 7,428 7,418 23,44 23,44 174,11232 173,87792 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-02 7,473 7,463 23,77 23,77 177,63321 177,39551 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-03 7,438 7,428 24,37 24,37 181,26406 181,02036 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-07 7,448 7,438 23,83 23,83 177,48584 177,24754 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-08 7,435 7,425 23,43 23,43 174,20205 173,96775 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-09 7,523 7,513 23,34 23,34 175,58682 175,35342 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-10 7,525 7,515 23,16 23,16 174,279 174,0474 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-13 7,643 7,633 23,43 23,43 179,07549 178,84119 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-14 7,663 7,653 23,55 23,55 180,46365 180,22815 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-15 7,693 7,683 23,96 23,96 184,32428 184,08468 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-16 7,678 7,668 24,06 24,06 184,73268 184,49208 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-17 7,643 7,633 24,43 24,43 186,71849 186,47419 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-20 7,543 7,533 24,75 24,75 186,68925 186,44175 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-21 7,648 7,638 24,7 24,7 188,9056 188,6586 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-22 7,608 7,598 24,51 24,51 186,47208 186,22698 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-27 7,73 7,72 23,8 23,8 183,974 183,736 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-28 7,76 7,75 24,2 24,2 187,792 187,55 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-29 7,833 7,823 24,37 24,37 190,89021 190,64651 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-06-30 7,823 7,813 24,42 24,42 191,03766 190,79346 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-01 7,858 7,848 24,42 24,42 191,89236 191,64816 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-04 7,945 7,935 24,57 24,57 195,20865 194,96295 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-05 7,963 7,953 24,49 24,49 195,01387 194,76897 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-06 7,895 7,885 24,37 24,37 192,40115 192,15745 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-07 7,878 7,868 24,32 24,32 191,59296 191,34976 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-08 7,913 7,903 24,42 24,42 193,23546 192,99126 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-11 7,89 7,88 24,66 24,66 194,5674 194,3208 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-12 7,77 7,76 24,99 24,99 194,1723 193,9224 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-13 7,703 7,693 25,2 25,2 194,1156 193,8636 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-14 7,76 7,75 25,31 25,31 196,4056 196,1525 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-15 7,76 7,75 25,41 25,41 197,1816 196,9275 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-18 7,78 7,77 25,15 25,15 195,667 195,4155 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-19 7,878 7,868 25,27 25,27 199,07706 198,82436 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-20 7,818 7,808 25,4 25,4 198,5772 198,3232 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-21 7,775 7,765 25,72 25,72 199,973 199,7158 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-22 7,758 7,748 25,7 25,7 199,3806 199,1236 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-25 7,838 7,828 25,53 25,53 200,10414 199,84884 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-26 7,818 7,808 24,6 24,6 192,3228 192,0768 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-27 7,905 7,895 24,88 24,88 196,6764 196,4276 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-28 7,848 7,838 25,25 25,25 198,162 197,9095 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-07-29 7,748 7,738 25,75 25,75 199,511 199,2535 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-01 7,72 7,71 25,94 25,94 200,2568 199,9974 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-02 7,7 7,69 26,36 26,36 202,972 202,7084 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-03 7,685 7,675 26,92 26,92 206,8802 206,611 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-04 7,618 7,608 27,04 27,04 205,99072 205,72032 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-05 7,548 7,538 26,96 26,96 203,49408 203,22448 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-08 7,558 7,548 26,83 26,83 202,78114 202,51284 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-09 7,548 7,538 27,02 27,02 203,94696 203,67676 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-10 7,558 7,548 27,64 27,64 208,90312 208,62672 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-11 7,523 7,513 27,85 27,85 209,51555 209,23705 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-12 7,46 7,45 27,32 27,32 203,8072 203,534 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-16 7,523 7,513 27,79 27,79 209,06417 208,78627 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-17 7,605 7,595 27,28 27,28 207,4644 207,1916 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-18 7,61 7,6 27,35 27,35 208,1335 207,86 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-19 7,698 7,688 26,93 26,93 207,30714 207,03784 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-22 7,69 7,68 26,51 26,51 203,8619 203,5968 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-23 7,663 7,653 27,25 27,25 208,81675 208,54425 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-24 7,673 7,663 26,72 26,72 205,02256 204,75536 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-25 7,588 7,578 26,43 26,43 200,55084 200,28654 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-26 7,578 7,568 27,07 27,07 205,13646 204,86576 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-29 7,573 7,563 26,71 26,71 202,27483 202,00773 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-30 7,633 7,623 26,9 26,9 205,3277 205,0587 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-08-31 7,668 7,658 26,81 26,81 205,57908 205,31098 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-01 7,568 7,558 27,42 27,42 207,51456 207,24036 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-02 7,435 7,425 27,65 27,65 205,57775 205,30125 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-05 7,41 7,4 28,09 28,09 208,1469 207,866 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-06 7,485 7,475 28,33 28,33 212,05005 211,76675 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-07 7,43 7,42 28,74 28,74 213,5382 213,2508 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-08 7,498 7,488 28,88 28,88 216,54224 216,25344 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-09 7,523 7,513 28,79 28,79 216,58717 216,29927 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-12 7,555 7,545 29,24 29,24 220,9082 220,6158 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-13 7,57 7,56 29,12 29,12 220,4384 220,1472 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-14 7,61 7,6 28,67 28,67 218,1787 217,892 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-15 7,658 7,648 28,92 28,92 221,46936 221,18016 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-16 7,613 7,603 29,5 29,5 224,5835 224,2885 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-19 7,698 7,688 29,78 29,78 229,24644 228,94864 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-20 7,688 7,678 30,07 30,07 231,17816 230,87746 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-21 7,663 7,653 30,06 30,06 230,34978 230,04918 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-22 7,648 7,638 30,81 30,81 235,63488 235,32678 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-23 7,733 7,723 30,58 30,58 236,47514 236,16934 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-26 7,798 7,788 30,88 30,88 240,80224 240,49344 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-27 7,825 7,815 31,02 31,02 242,7315 242,4213 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-28 7,81 7,8 30,84 30,84 240,8604 240,552 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-29 7,785 7,775 31,38 31,38 244,2933 243,9795 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-09-30 7,785 7,775 31,54 31,54 245,5389 245,2235 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-03 7,783 7,773 31,69 31,69 246,64327 246,32637 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-04 7,82 7,81 32,03 32,03 250,4746 250,1543 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-05 7,795 7,785 31,42 31,42 244,9189 244,6047 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-06 7,713 7,703 30,44 30,44 234,78372 234,47932 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-07 7,683 7,673 29,28 29,28 224,95824 224,66544 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-10 7,698 7,688 30,17 30,17 232,24866 231,94696 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-11 7,77 7,76 30,29 30,29 235,3533 235,0504 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-12 7,805 7,795 30,55 30,55 238,44275 238,13725 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-13 7,83 7,82 29,82 29,82 233,4906 233,1924 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-14 7,833 7,823 29,31 29,31 229,58523 229,29213 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-17 7,835 7,825 29,36 29,36 230,0356 229,742 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-18 7,893 7,883 29,97 29,97 236,55321 236,25351 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-19 7,96 7,95 29,35 29,35 233,626 233,3325 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-20 7,93 7,92 29,48 29,48 233,7764 233,4816 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-21 7,883 7,873 28,51 28,51 224,74433 224,45923 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-24 7,995 7,985 29,32 29,32 234,4134 234,1202 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-25 7,99 7,98 29,98 29,98 239,5402 239,2404 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-26 7,868 7,858 29,76 29,76 234,15168 233,85408 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-27 7,868 7,858 29,63 29,63 233,12884 232,83254 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-28 7,825 7,815 29,6 29,6 231,62 231,324 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-10-31 7,905 7,895 30,45 30,45 240,70725 240,40275 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-02 7,98 7,97 31,19 31,19 248,8962 248,5843 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-03 8,01 8 31,84 31,84 255,0384 254,72 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-04 8,028 8,018 31,54 31,54 253,20312 252,88772 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-07 8,135 8,125 31,6 31,6 257,066 256,75 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-08 8,17 8,16 31,43 31,43 256,7831 256,4688 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-09 8,12 8,11 31,75 31,75 257,81 257,4925 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-10 8,173 8,163 31,84 31,84 260,22832 259,90992 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-11 8,235 8,225 31,95 31,95 263,10825 262,78875 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-14 8,133 8,123 31,64 31,64 257,32812 257,01172 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-15 8,185 8,175 31,87 31,87 260,85595 260,53725 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-16 8,21 8,2 31,89 31,89 261,8169 261,498 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-17 8,258 8,248 32,57 32,57 268,96306 268,63736 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-18 8,223 8,213 32,51 32,51 267,32973 267,00463 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-21 8,123 8,113 32,49 32,49 263,91627 263,59137 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-22 8,15 8,14 32,05 32,05 261,2075 260,887 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-23 8,048 8,038 33,07 33,07 266,14736 265,81666 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-24 8,053 8,043 33,01 33,01 265,82953 265,49943 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-25 8,078 8,068 33,08 33,08 267,22024 266,88944 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-28 8,118 8,108 33,54 33,54 272,27772 271,94232 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-29 8,015 8,005 33,3 33,3 266,8995 266,5665 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-11-30 8,088 8,078 32,92 32,92 266,25696 265,92776 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-01 8,083 8,073 33,51 33,51 270,86133 270,52623 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-02 8,103 8,093 34,11 34,11 276,39333 276,05223 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-05 8,045 8,035 34,13 34,13 274,57585 274,23455 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-06 7,993 7,983 34,53 34,53 275,99829 275,65299 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-07 8,015 8,005 34,71 34,71 278,20065 277,85355 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-08 7,988 7,978 33,89 33,89 270,71332 270,37442 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-12 7,953 7,943 33,83 33,83 269,04999 268,71169 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-13 7,905 7,895 33,74 33,74 266,7147 266,3773 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-14 7,848 7,838 33,97 33,97 266,59656 266,25686 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-15 7,858 7,848 33,75 33,75 265,2075 264,87 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-16 7,903 7,893 33,38 33,38 263,80214 263,46834 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-19 7,865 7,855 32,95 32,95 259,15175 258,82225 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-20 7,848 7,838 32,8 32,8 257,4144 257,0864 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-21 7,948 7,938 33,53 33,53 266,49644 266,16114 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-22 7,98 7,97 33,52 33,52 267,4896 267,1544 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-23 7,955 7,945 33,44 33,44 266,0152 265,6808 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-27 8,01 8 33,24 33,24 266,2524 265,92 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-28 7,915 7,905 33,11 33,11 262,06565 261,73455 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-29 7,938 7,928 33,14 33,14 263,06532 262,73392 174672 Morgan Stanley Investment Management Limited Morgan Stanley SICAV Latin American Equity Fund USD 2005-12-30 7,958 7,948 33,38 33,38 265,63804 265,30424 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-03 9,0065 9,0015 13,75 13,75 123,839375 123,770625 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-04 9,0345 9,0295 13,9 13,9 125,57955 125,51005 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-05 9,0615 9,0565 14,01 14,01 126,951615 126,881565 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-07 9,0615 9,0565 14,05 14,05 127,314075 127,243825 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-10 9,08619 9,08119 14,17 14,17 128,7513123 128,6804623 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-11 9,08619 9,08119 14,1 14,1 128,115279 128,044779 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-12 9,0455 9,0405 14,16 14,16 128,08428 128,01348 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-13 9,0505 9,0455 14,05 14,05 127,159525 127,089275 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-14 9,0455 9,0405 14,22 14,22 128,62701 128,55591 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-17 9,0685 9,0635 14,22 14,22 128,95407 128,88297 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-18 9,0585 9,0535 14,26 14,26 129,17421 129,10291 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-19 9,0225 9,0175 14,25 14,25 128,570625 128,499375 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-20 9,0315 9,0265 14,4 14,4 130,0536 129,9816 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-21 9,0505 9,0455 14,38 14,38 130,14619 130,07429 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-24 9,0655 9,0605 14,28 14,28 129,45534 129,38394 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-25 9,0715 9,0665 14,31 14,31 129,813165 129,741615 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-26 9,0885 9,0835 14,31 14,31 130,056435 129,984885 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-27 9,0675 9,0625 14,27 14,27 129,393225 129,321875 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-28 9,0955 9,0905 14,3 14,3 130,06565 129,99415 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-01-31 9,1075 9,1025 14,32 14,32 130,4194 130,3478 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-01 9,1035 9,0985 14,33 14,33 130,453155 130,381505 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-02 9,0905 9,0855 14,29 14,29 129,903245 129,831795 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-03 9,0695 9,0645 14,34 14,34 130,05663 129,98493 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-04 9,0895 9,0845 14,41 14,41 130,979695 130,907645 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-07 9,0755 9,0705 14,57 14,57 132,230035 132,157185 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-08 9,0895 9,0845 14,71 14,71 133,706545 133,632995 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-09 9,0695 9,0645 14,69 14,69 133,230955 133,157505 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-10 9,0805 9,0755 14,69 14,69 133,392545 133,319095 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-11 9,0935 9,0885 14,56 14,56 132,40136 132,32856 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-14 9,1105 9,1055 14,43 14,43 131,464515 131,392365 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-15 9,0765 9,0715 14,44 14,44 131,06466 130,99246 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-16 9,0705 9,0655 14,37 14,37 130,343085 130,271235 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-17 9,0925 9,0875 14,3 14,3 130,02275 129,95125 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-18 9,0945 9,0895 14,32 14,32 130,23324 130,16164 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-21 9,1185 9,1135 14,26 14,26 130,02981 129,95851 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-22 9,0975 9,0925 14,1 14,1 128,27475 128,20425 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-23 9,1045 9,0995 14,09 14,09 128,282405 128,211955 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-24 9,0715 9,0665 14,05 14,05 127,454575 127,384325 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-25 9,0845 9,0795 14,15 14,15 128,545675 128,474925 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-02-28 9,0505 9,0455 14,06 14,06 127,25003 127,17973 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-01 9,0565 9,0515 14,06 14,06 127,33439 127,26409 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-02 9,0645 9,0595 14,15 14,15 128,262675 128,191925 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-03 9,0675 9,0625 14,13 14,13 128,123775 128,053125 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-04 9,0415 9,0365 14,16 14,16 128,02764 127,95684 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-07 9,0425 9,0375 14,1 14,1 127,49925 127,42875 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-08 9,0345 9,0295 14,04 14,04 126,84438 126,77418 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-09 9,0365 9,0315 13,87 13,87 125,336255 125,266905 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-10 9,0655 9,0605 13,77 13,77 124,831935 124,763085 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-11 9,0795 9,0745 13,8 13,8 125,2971 125,2281 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-14 9,0695 9,0645 13,77 13,77 124,887015 124,818165 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-15 9,1035 9,0985 13,82 13,82 125,81037 125,74127 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-16 9,0975 9,0925 13,79 13,79 125,454525 125,385575 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-17 9,1045 9,0995 13,81 13,81 125,733145 125,664095 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-18 9,1035 9,0985 13,88 13,88 126,35658 126,28718 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-21 9,1265 9,1215 14 14 127,771 127,701 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-22 9,1265 9,1215 14 14 127,771 127,701 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-23 9,1165 9,1115 14,11 14,11 128,633815 128,563265 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-24 9,1135 9,1085 14,17 14,17 129,138295 129,067445 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-29 9,1315 9,1265 14,22 14,22 129,84993 129,77883 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-30 9,1425 9,1375 14,22 14,22 130,00635 129,93525 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-03-31 9,1405 9,1355 14,23 14,23 130,069315 129,998165 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-01 9,1645 9,1595 14,26 14,26 130,68577 130,61447 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-04 9,1695 9,1645 14,36 14,36 131,67402 131,60222 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-05 9,1745 9,1695 14,44 14,44 132,47978 132,40758 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-06 9,1705 9,1655 14,36 14,36 131,68838 131,61658 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-07 9,1505 9,1455 14,35 14,35 131,309675 131,237925 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-08 9,1625 9,1575 14,4 14,4 131,94 131,868 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-11 9,1705 9,1655 14,27 14,27 130,863035 130,791685 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-12 9,1525 9,1475 14,27 14,27 130,606175 130,534825 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-13 9,1495 9,1445 14,35 14,35 131,295325 131,223575 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-14 9,1685 9,1635 14,47 14,47 132,668195 132,595845 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-15 9,1925 9,1875 14,48 14,48 133,1074 133,035 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-18 9,1805 9,1755 14,35 14,35 131,740175 131,668425 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-19 9,2035 9,1985 14,34 14,34 131,97819 131,90649 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-20 9,1915 9,1865 14,3 14,3 131,43845 131,36695 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-21 9,1855 9,1805 14,25 14,25 130,893375 130,822125 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-22 9,1625 9,1575 14,26 14,26 130,65725 130,58595 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-25 9,1685 9,1635 14,39 14,39 131,934715 131,862765 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-26 9,1375 9,1325 14,38 14,38 131,39725 131,32535 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-27 9,1465 9,1415 14,43 14,43 131,983995 131,911845 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-28 9,1505 9,1455 14,45 14,45 132,224725 132,152475 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-04-29 9,1705 9,1655 14,43 14,43 132,330315 132,258165 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-02 9,1935 9,1885 14,53 14,53 133,581555 133,508905 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-03 9,2245 9,2195 14,55 14,55 134,216475 134,143725 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-04 9,1915 9,1865 14,45 14,45 132,817175 132,744925 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-06 9,1715 9,1665 14,44 14,44 132,43646 132,36426 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-09 9,1815 9,1765 14,54 14,54 133,49901 133,42631 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-10 9,1985 9,1935 14,51 14,51 133,470235 133,397685 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-11 9,2105 9,2055 14,5 14,5 133,55225 133,47975 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-12 9,2315 9,2265 14,63 14,63 135,056845 134,983695 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-13 9,2045 9,1995 14,8 14,8 136,2266 136,1526 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-17 9,2325 9,2275 14,82 14,82 136,82565 136,75155 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-18 9,2095 9,2045 14,86 14,86 136,85317 136,77887 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-19 9,1905 9,1855 14,84 14,84 136,38702 136,31282 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-20 9,1955 9,1905 14,86 14,86 136,64513 136,57083 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-23 9,1805 9,1755 14,95 14,95 137,248475 137,173725 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-24 9,1815 9,1765 14,94 14,94 137,17161 137,09691 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-25 9,1785 9,1735 15 15 137,6775 137,6025 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-26 9,1945 9,1895 14,99 14,99 137,825555 137,750605 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-27 9,1955 9,1905 15 15 137,9325 137,8575 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-30 9,1905 9,1855 15,05 15,05 138,317025 138,241775 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-05-31 9,1665 9,1615 15,28 15,28 140,06412 139,98772 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-01 9,1455 9,1405 15,43 15,43 141,115065 141,037915 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-02 9,1565 9,1515 15,44 15,44 141,37636 141,29916 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-03 9,1315 9,1265 15,43 15,43 140,899045 140,821895 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-07 9,1455 9,1405 15,41 15,41 140,932155 140,855105 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-08 9,1455 9,1405 15,39 15,39 140,749245 140,672295 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-09 9,1965 9,1915 15,47 15,47 142,269855 142,192505 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-10 9,1975 9,1925 15,46 15,46 142,19335 142,11605 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-13 9,2365 9,2315 15,66 15,66 144,64359 144,56529 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-14 9,2985 9,2935 15,55 15,55 144,591675 144,513925 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-15 9,2695 9,2645 15,62 15,62 144,78959 144,71149 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-16 9,2695 9,2645 15,52 15,52 143,86264 143,78504 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-17 9,2695 9,2645 15,48 15,48 143,49186 143,41446 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-20 9,2255 9,2205 15,42 15,42 142,25721 142,18011 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-21 9,2725 9,2675 15,59 15,59 144,558275 144,480325 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-22 9,2615 9,2565 15,59 15,59 144,386785 144,308835 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-27 9,3855 9,3805 15,57 15,57 146,132235 146,054385 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-28 9,3995 9,3945 15,65 15,65 147,102175 147,023925 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-29 9,4215 9,4165 15,69 15,69 147,823335 147,744885 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-06-30 9,4415 9,4365 15,7 15,7 148,23155 148,15305 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-01 9,4595 9,4545 15,68 15,68 148,32496 148,24656 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-04 9,4795 9,4745 15,89 15,89 150,629255 150,549805 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-05 9,4575 9,4525 15,89 15,89 150,279675 150,200225 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-06 9,4195 9,4145 15,86 15,86 149,39327 149,31397 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-07 9,3965 9,3915 15,77 15,77 148,182805 148,103955 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-08 9,4175 9,4125 15,87 15,87 149,455725 149,376375 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-11 9,4665 9,4615 15,73 15,73 148,908045 148,829395 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-12 9,4645 9,4595 15,51 15,51 146,794395 146,716845 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-13 9,3915 9,3865 15,47 15,47 145,286505 145,209155 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-14 9,3675 9,3625 15,61 15,61 146,226675 146,148625 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-15 9,4055 9,4005 15,58 15,58 146,53769 146,45979 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-18 9,3895 9,3845 15,64 15,64 146,85178 146,77358 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-19 9,4425 9,4375 15,71 15,71 148,341675 148,263125 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-20 9,4265 9,4215 15,6 15,6 147,0534 146,9754 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-21 9,4625 9,4575 15,52 15,52 146,858 146,7804 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-22 9,4495 9,4445 15,48 15,48 146,27826 146,20086 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-25 9,4275 9,4225 15,6 15,6 147,069 146,991 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-26 9,4155 9,4105 15,67 15,67 147,540885 147,462535 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-27 9,4725 9,4675 15,7 15,7 148,71825 148,63975 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-28 9,4515 9,4465 15,57 15,57 147,159855 147,082005 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-07-29 9,3885 9,3835 15,59 15,59 146,366715 146,288765 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-01 9,3985 9,3935 15,38 15,38 144,54893 144,47203 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-02 9,3995 9,3945 15,37 15,37 144,470315 144,393465 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-03 9,3755 9,3705 15,26 15,26 143,07013 142,99383 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-04 9,3735 9,3685 15,24 15,24 142,85214 142,77594 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-05 9,3355 9,3305 15,21 15,21 141,992955 141,916905 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-08 9,3335 9,3285 15,15 15,15 141,402525 141,326775 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-09 9,3455 9,3405 15,15 15,15 141,584325 141,508575 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-10 9,3535 9,3485 15,15 15,15 141,705525 141,629775 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-11 9,3365 9,3315 15,11 15,11 141,074515 140,998965 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-12 9,3025 9,2975 15,08 15,08 140,2817 140,2063 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-16 9,2995 9,2945 15,28 15,28 142,09636 142,01996 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-17 9,3405 9,3355 15,33 15,33 143,189865 143,113215 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-18 9,3365 9,3315 15,42 15,42 143,96883 143,89173 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-19 9,3395 9,3345 15,49 15,49 144,668855 144,591405 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-22 9,3655 9,3605 15,43 15,43 144,509665 144,432515 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-23 9,3715 9,3665 15,42 15,42 144,50853 144,43143 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-24 9,3365 9,3315 15,47 15,47 144,435655 144,358305 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-25 9,3335 9,3285 15,36 15,36 143,36256 143,28576 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-26 9,3415 9,3365 15,37 15,37 143,578855 143,502005 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-29 9,3295 9,3245 15,38 15,38 143,48771 143,41081 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-30 9,3285 9,3235 15,51 15,51 144,685035 144,607485 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-08-31 9,3585 9,3535 15,53 15,53 145,337505 145,259855 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-01 9,3365 9,3315 15,33 15,33 143,128545 143,051895 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-02 9,3025 9,2975 15,14 15,14 140,83985 140,76415 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-05 9,2845 9,2795 15,14 15,14 140,56733 140,49163 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-06 9,3225 9,3175 15,22 15,22 141,88845 141,81235 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-07 9,3075 9,3025 15,22 15,22 141,66015 141,58405 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-08 9,3255 9,3205 15,26 15,26 142,30713 142,23083 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-09 9,3445 9,3395 15,27 15,27 142,690515 142,614165 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-12 9,3015 9,2965 15,39 15,39 143,150085 143,073135 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-13 9,3015 9,2965 15,39 15,39 143,150085 143,073135 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-14 9,3365 9,3315 15,41 15,41 143,875465 143,798415 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-15 9,3425 9,3375 15,46 15,46 144,43505 144,35775 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-16 9,3465 9,3415 15,4 15,4 143,9361 143,8591 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-19 9,3355 9,3305 15,52 15,52 144,88696 144,80936 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-20 9,3395 9,3345 15,49 15,49 144,668855 144,591405 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-21 9,3405 9,3355 15,46 15,46 144,40413 144,32683 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-22 9,3405 9,3355 15,48 15,48 144,59094 144,51354 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-23 9,3695 9,3645 15,59 15,59 146,070505 145,992555 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-26 9,3815 9,3765 15,65 15,65 146,820475 146,742225 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-27 9,3885 9,3835 15,66 15,66 147,02391 146,94561 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-28 9,3935 9,3885 15,65 15,65 147,008275 146,930025 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-29 9,3845 9,3795 15,63 15,63 146,679735 146,601585 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-09-30 9,3435 9,3385 15,63 15,63 146,038905 145,960755 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-03 9,3025 9,2975 15,76 15,76 146,6074 146,5286 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-04 9,3185 9,3135 15,75 15,75 146,766375 146,687625 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-05 9,3105 9,3055 15,73 15,73 146,454165 146,375515 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-06 9,3015 9,2965 15,6 15,6 145,1034 145,0254 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-07 9,3385 9,3335 15,47 15,47 144,466595 144,389245 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-10 9,3465 9,3415 15,53 15,53 145,151145 145,073495 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-11 9,3395 9,3345 15,64 15,64 146,06978 145,99158 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-12 9,3375 9,3325 15,67 15,67 146,318625 146,240275 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-13 9,3815 9,3765 15,64 15,64 146,72666 146,64846 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-14 9,4135 9,4085 15,61 15,61 146,944735 146,866685 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-17 9,4575 9,4525 15,55 15,55 147,064125 146,986375 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-18 9,4625 9,4575 15,67 15,67 148,277375 148,199025 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-19 9,4605 9,4555 15,66 15,66 148,15143 148,07313 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-20 9,4935 9,4885 15,64 15,64 148,47834 148,40014 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-21 9,4915 9,4865 15,59 15,59 147,972485 147,894535 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-24 9,5455 9,5405 15,69 15,69 149,768895 149,690445 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-25 9,5465 9,5415 15,52 15,52 148,16168 148,08408 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-26 9,4975 9,4925 15,44 15,44 146,6414 146,5642 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-27 9,5355 9,5305 15,37 15,37 146,560635 146,483785 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-28 9,5135 9,5085 15,4 15,4 146,5079 146,4309 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-10-31 9,5495 9,5445 15,55 15,55 148,494725 148,416975 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-02 9,5855 9,5805 15,49 15,49 148,479395 148,401945 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-03 9,6515 9,6465 15,54 15,54 149,98431 149,90661 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-04 9,5875 9,5825 15,62 15,62 149,75675 149,67865 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-07 9,6075 9,6025 15,81 15,81 151,894575 151,815525 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-08 9,5685 9,5635 15,87 15,87 151,852095 151,772745 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-09 9,5575 9,5525 15,9 15,9 151,96425 151,88475 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-10 9,6105 9,6055 15,88 15,88 152,61474 152,53534 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-11 9,6365 9,6315 15,97 15,97 153,894905 153,815055 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-14 9,5505 9,5455 15,96 15,96 152,42598 152,34618 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-15 9,5805 9,5755 15,96 15,96 152,90478 152,82498 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-16 9,6235 9,6185 16,05 16,05 154,457175 154,376925 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-17 9,6355 9,6305 15,99 15,99 154,071645 153,991695 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-18 9,6085 9,6035 15,91 15,91 152,871235 152,791685 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-21 9,5915 9,5865 15,85 15,85 152,025275 151,946025 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-22 9,5585 9,5535 16,02 16,02 153,12717 153,04707 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-23 9,5155 9,5105 15,9 15,9 151,29645 151,21695 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-24 9,5125 9,5075 15,9 15,9 151,24875 151,16925 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-25 9,4965 9,4915 15,95 15,95 151,469175 151,389425 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-28 9,4835 9,4785 16,02 16,02 151,92567 151,84557 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-29 9,4785 9,4735 15,95 15,95 151,182075 151,102325 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-11-30 9,5295 9,5245 15,92 15,92 151,70964 151,63004 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-01 9,5165 9,5115 16,02 16,02 152,45433 152,37423 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-02 9,4905 9,4855 16,04 16,04 152,22762 152,14742 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-05 9,4065 9,4015 15,89 15,89 149,469285 149,389835 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-06 9,4185 9,4135 15,91 15,91 149,848335 149,768785 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-07 9,4255 9,4205 15,98 15,98 150,61949 150,53959 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-08 9,3965 9,3915 15,92 15,92 149,59228 149,51268 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-12 9,4315 9,4265 15,67 15,67 147,791605 147,713255 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-13 9,4295 9,4245 15,7 15,7 148,04315 147,96465 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-14 9,4365 9,4315 15,62 15,62 147,39813 147,32003 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-15 9,4345 9,4295 15,67 15,67 147,838615 147,760265 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-16 9,4765 9,4715 15,68 15,68 148,59152 148,51312 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-19 9,4535 9,4485 15,67 15,67 148,136345 148,057995 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-20 9,4015 9,3965 15,77 15,77 148,261655 148,182805 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-21 9,4485 9,4435 15,9 15,9 150,23115 150,15165 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-22 9,4365 9,4315 15,85 15,85 149,568525 149,489275 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-23 9,4425 9,4375 15,89 15,89 150,041325 149,961875 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-27 9,4915 9,4865 15,92 15,92 151,10468 151,02508 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-28 9,4345 9,4295 15,85 15,85 149,536825 149,457575 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-29 9,4115 9,4065 15,97 15,97 150,301655 150,221805 859108 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Bond Fund EUR 2005-12-30 9,4325 9,4275 16,03 16,03 151,202975 151,122825 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-03 9,0065 9,0015 19,5 19,5 175,62675 175,52925 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-04 9,0345 9,0295 19,49 19,49 176,082405 175,984955 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-05 9,0615 9,0565 19,4 19,4 175,7931 175,6961 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-07 9,0615 9,0565 19,39 19,39 175,702485 175,605535 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-10 9,08619 9,08119 19,55 19,55 177,6350145 177,5372645 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-11 9,08619 9,08119 19,56 19,56 177,7258764 177,6280764 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-12 9,0455 9,0405 19,51 19,51 176,477705 176,380155 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-13 9,0505 9,0455 19,43 19,43 175,851215 175,754065 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-14 9,0455 9,0405 19,42 19,42 175,66361 175,56651 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-17 9,0685 9,0635 19,59 19,59 177,651915 177,553965 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-18 9,0585 9,0535 19,65 19,65 177,999525 177,901275 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-19 9,0225 9,0175 19,77 19,77 178,374825 178,275975 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-20 9,0315 9,0265 19,81 19,81 178,914015 178,814965 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-21 9,0505 9,0455 19,37 19,37 175,308185 175,211335 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-24 9,0655 9,0605 19,1 19,1 173,15105 173,05555 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-25 9,0715 9,0665 18,9 18,9 171,45135 171,35685 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-26 9,0885 9,0835 19 19 172,6815 172,5865 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-27 9,0675 9,0625 19,14 19,14 173,55195 173,45625 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-28 9,0955 9,0905 19,16 19,16 174,26978 174,17398 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-01-31 9,1075 9,1025 19,15 19,15 174,408625 174,312875 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-01 9,1035 9,0985 19,37 19,37 176,334795 176,237945 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-02 9,0905 9,0855 19,37 19,37 176,082985 175,986135 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-03 9,0695 9,0645 19,51 19,51 176,945945 176,848395 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-04 9,0895 9,0845 19,52 19,52 177,42704 177,32944 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-07 9,0755 9,0705 19,87 19,87 180,330185 180,230835 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-08 9,0895 9,0845 19,93 19,93 181,153735 181,054085 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-09 9,0695 9,0645 19,86 19,86 180,12027 180,02097 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-10 9,0805 9,0755 19,63 19,63 178,250215 178,152065 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-11 9,0935 9,0885 19,57 19,57 177,959795 177,861945 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-14 9,1105 9,1055 19,59 19,59 178,474695 178,376745 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-15 9,0765 9,0715 19,61 19,61 177,990165 177,892115 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-16 9,0705 9,0655 19,66 19,66 178,32603 178,22773 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-17 9,0925 9,0875 19,6 19,6 178,213 178,115 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-18 9,0945 9,0895 19,52 19,52 177,52464 177,42704 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-21 9,1185 9,1135 19,42 19,42 177,08127 176,98417 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-22 9,0975 9,0925 19,2 19,2 174,672 174,576 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-23 9,1045 9,0995 18,92 18,92 172,25714 172,16254 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-24 9,0715 9,0665 18,88 18,88 171,26992 171,17552 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-25 9,0845 9,0795 19,19 19,19 174,331555 174,235605 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-02-28 9,0505 9,0455 19,22 19,22 173,95061 173,85451 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-01 9,0565 9,0515 19,1 19,1 172,97915 172,88365 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-02 9,0645 9,0595 19,32 19,32 175,12614 175,02954 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-03 9,0675 9,0625 19,31 19,31 175,093425 174,996875 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-04 9,0415 9,0365 19,32 19,32 174,68178 174,58518 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-07 9,0425 9,0375 19,32 19,32 174,7011 174,6045 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-08 9,0345 9,0295 19,38 19,38 175,08861 174,99171 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-09 9,0365 9,0315 19,04 19,04 172,05496 171,95976 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-10 9,0655 9,0605 18,81 18,81 170,522055 170,428005 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-11 9,0795 9,0745 18,75 18,75 170,240625 170,146875 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-14 9,0695 9,0645 18,7 18,7 169,59965 169,50615 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-15 9,1035 9,0985 18,8 18,8 171,1458 171,0518 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-16 9,0975 9,0925 18,77 18,77 170,760075 170,666225 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-17 9,1045 9,0995 18,63 18,63 169,616835 169,523685 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-18 9,1035 9,0985 18,8 18,8 171,1458 171,0518 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-21 9,1265 9,1215 18,91 18,91 172,582115 172,487565 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-22 9,1265 9,1215 18,86 18,86 172,12579 172,03149 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-23 9,1165 9,1115 18,85 18,85 171,846025 171,751775 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-24 9,1135 9,1085 18,86 18,86 171,88061 171,78631 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-29 9,1315 9,1265 18,98 18,98 173,31587 173,22097 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-30 9,1425 9,1375 18,81 18,81 171,970425 171,876375 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-03-31 9,1405 9,1355 19,12 19,12 174,76636 174,67076 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-01 9,1645 9,1595 19,11 19,11 175,133595 175,038045 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-04 9,1695 9,1645 19,12 19,12 175,32084 175,22524 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-05 9,1745 9,1695 19,32 19,32 177,25134 177,15474 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-06 9,1705 9,1655 19,29 19,29 176,898945 176,802495 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-07 9,1505 9,1455 19,23 19,23 175,964115 175,867965 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-08 9,1625 9,1575 19,4 19,4 177,7525 177,6555 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-11 9,1705 9,1655 19,01 19,01 174,331205 174,236155 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-12 9,1525 9,1475 18,88 18,88 172,7992 172,7048 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-13 9,1495 9,1445 19,01 19,01 173,931995 173,836945 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-14 9,1685 9,1635 18,88 18,88 173,10128 173,00688 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-15 9,1925 9,1875 18,63 18,63 171,256275 171,163125 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-18 9,1805 9,1755 18,15 18,15 166,626075 166,535325 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-19 9,2035 9,1985 18,16 18,16 167,13556 167,04476 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-20 9,1915 9,1865 18,26 18,26 167,83679 167,74549 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-21 9,1855 9,1805 18,04 18,04 165,70642 165,61622 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-22 9,1625 9,1575 18,48 18,48 169,323 169,2306 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-25 9,1685 9,1635 18,4 18,4 168,7004 168,6084 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-26 9,1375 9,1325 18,62 18,62 170,14025 170,04715 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-27 9,1465 9,1415 18,64 18,64 170,49076 170,39756 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-28 9,1505 9,1455 18,62 18,62 170,38231 170,28921 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-04-29 9,1705 9,1655 18,4 18,4 168,7372 168,6452 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-02 9,1935 9,1885 18,65 18,65 171,458775 171,365525 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-03 9,2245 9,2195 18,76 18,76 173,05162 172,95782 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-04 9,1915 9,1865 18,67 18,67 171,605305 171,511955 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-06 9,1715 9,1665 18,98 18,98 174,07507 173,98017 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-09 9,1815 9,1765 19,22 19,22 176,46843 176,37233 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-10 9,1985 9,1935 19,24 19,24 176,97914 176,88294 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-11 9,2105 9,2055 18,99 18,99 174,907395 174,812445 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-12 9,2315 9,2265 19,3 19,3 178,16795 178,07145 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-13 9,2045 9,1995 19,35 19,35 178,107075 178,010325 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-17 9,2325 9,2275 19,5 19,5 180,03375 179,93625 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-18 9,2095 9,2045 19,73 19,73 181,703435 181,604785 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-19 9,1905 9,1855 19,92 19,92 183,07476 182,97516 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-20 9,1955 9,1905 20,08 20,08 184,64564 184,54524 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-23 9,1805 9,1755 20,2 20,2 185,4461 185,3451 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-24 9,1815 9,1765 20,26 20,26 186,01719 185,91589 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-25 9,1785 9,1735 20,39 20,39 187,149615 187,047665 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-26 9,1945 9,1895 20,33 20,33 186,924185 186,822535 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-27 9,1955 9,1905 20,47 20,47 188,231885 188,129535 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-30 9,1905 9,1855 20,65 20,65 189,783825 189,680575 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-05-31 9,1665 9,1615 20,95 20,95 192,038175 191,933425 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-01 9,1455 9,1405 21,04 21,04 192,42132 192,31612 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-02 9,1565 9,1515 21,27 21,27 194,758755 194,652405 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-03 9,1315 9,1265 21,39 21,39 195,322785 195,215835 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-07 9,1455 9,1405 21,25 21,25 194,341875 194,235625 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-08 9,1455 9,1405 21,1 21,1 192,97005 192,86455 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-09 9,1965 9,1915 21,08 21,08 193,86222 193,75682 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-10 9,1975 9,1925 21,28 21,28 195,7228 195,6164 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-13 9,2365 9,2315 21,46 21,46 198,21529 198,10799 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-14 9,2985 9,2935 21,45 21,45 199,452825 199,345575 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-15 9,2695 9,2645 21,65 21,65 200,684675 200,576425 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-16 9,2695 9,2645 21,61 21,61 200,313895 200,205845 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-17 9,2695 9,2645 21,62 21,62 200,40659 200,29849 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-20 9,2255 9,2205 21,61 21,61 199,363055 199,255005 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-21 9,2725 9,2675 21,86 21,86 202,69685 202,58755 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-22 9,2615 9,2565 21,77 21,77 201,622855 201,514005 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-27 9,3855 9,3805 21,35 21,35 200,380425 200,273675 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-28 9,3995 9,3945 21,5 21,5 202,08925 201,98175 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-29 9,4215 9,4165 21,81 21,81 205,482915 205,373865 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-06-30 9,4415 9,4365 21,74 21,74 205,25821 205,14951 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-01 9,4595 9,4545 21,57 21,57 204,041415 203,933565 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-04 9,4795 9,4745 21,95 21,95 208,075025 207,965275 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-05 9,4575 9,4525 21,98 21,98 207,87585 207,76595 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-06 9,4195 9,4145 22,15 22,15 208,641925 208,531175 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-07 9,3965 9,3915 21,49 21,49 201,930785 201,823335 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-08 9,4175 9,4125 22,11 22,11 208,220925 208,110375 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-11 9,4665 9,4615 22,12 22,12 209,39898 209,28838 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-12 9,4645 9,4595 21,99 21,99 208,124355 208,014405 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-13 9,3915 9,3865 22,08 22,08 207,36432 207,25392 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-14 9,3675 9,3625 22,29 22,29 208,801575 208,690125 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-15 9,4055 9,4005 22,26 22,26 209,36643 209,25513 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-18 9,3895 9,3845 22,35 22,35 209,855325 209,743575 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-19 9,4425 9,4375 22,42 22,42 211,70085 211,58875 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-20 9,4265 9,4215 22,52 22,52 212,28478 212,17218 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-21 9,4625 9,4575 22,43 22,43 212,243875 212,131725 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-22 9,4495 9,4445 22,43 22,43 211,952285 211,840135 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-25 9,4275 9,4225 22,62 22,62 213,25005 213,13695 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-26 9,4155 9,4105 22,56 22,56 212,41368 212,30088 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-27 9,4725 9,4675 22,65 22,65 214,552125 214,438875 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-28 9,4515 9,4465 22,76 22,76 215,11614 215,00234 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-07-29 9,3885 9,3835 22,95 22,95 215,466075 215,351325 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-01 9,3985 9,3935 22,53 22,53 211,748205 211,635555 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-02 9,3995 9,3945 22,64 22,64 212,80468 212,69148 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-03 9,3755 9,3705 22,53 22,53 211,230015 211,117365 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-04 9,3735 9,3685 22,44 22,44 210,34134 210,22914 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-05 9,3355 9,3305 22,2 22,2 207,2481 207,1371 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-08 9,3335 9,3285 22,01 22,01 205,430335 205,320285 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-09 9,3455 9,3405 21,92 21,92 204,85336 204,74376 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-10 9,3535 9,3485 22,03 22,03 206,057605 205,947455 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-11 9,3365 9,3315 21,9 21,9 204,46935 204,35985 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-12 9,3025 9,2975 21,94 21,94 204,09685 203,98715 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-16 9,2995 9,2945 22,1 22,1 205,51895 205,40845 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-17 9,3405 9,3355 21,79 21,79 203,529495 203,420545 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-18 9,3365 9,3315 21,98 21,98 205,21627 205,10637 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-19 9,3395 9,3345 22,05 22,05 205,935975 205,825725 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-22 9,3655 9,3605 21,99 21,99 205,947345 205,837395 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-23 9,3715 9,3665 21,97 21,97 205,891855 205,782005 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-24 9,3365 9,3315 21,98 21,98 205,21627 205,10637 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-25 9,3335 9,3285 21,72 21,72 202,72362 202,61502 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-26 9,3415 9,3365 21,78 21,78 203,45787 203,34897 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-29 9,3295 9,3245 21,68 21,68 202,26356 202,15516 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-30 9,3285 9,3235 22,02 22,02 205,41357 205,30347 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-08-31 9,3585 9,3535 21,95 21,95 205,419075 205,309325 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-01 9,3365 9,3315 21,89 21,89 204,375985 204,266535 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-02 9,3025 9,2975 21,63 21,63 201,213075 201,104925 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-05 9,2845 9,2795 21,57 21,57 200,266665 200,158815 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-06 9,3225 9,3175 21,69 21,69 202,205025 202,096575 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-07 9,3075 9,3025 21,92 21,92 204,0204 203,9108 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-08 9,3255 9,3205 22,09 22,09 206,000295 205,889845 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-09 9,3445 9,3395 21,98 21,98 205,39211 205,28221 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-12 9,3015 9,2965 22,29 22,29 207,330435 207,218985 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-13 9,3015 9,2965 22,4 22,4 208,3536 208,2416 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-14 9,3365 9,3315 22,31 22,31 208,297315 208,185765 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-15 9,3425 9,3375 22,27 22,27 208,057475 207,946125 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-16 9,3465 9,3415 22,2 22,2 207,4923 207,3813 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-19 9,3355 9,3305 22,44 22,44 209,48862 209,37642 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-20 9,3395 9,3345 22,27 22,27 207,990665 207,879315 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-21 9,3405 9,3355 22,08 22,08 206,23824 206,12784 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-22 9,3405 9,3355 21,96 21,96 205,11738 205,00758 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-23 9,3695 9,3645 22,33 22,33 209,220935 209,109285 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-26 9,3815 9,3765 22,5 22,5 211,08375 210,97125 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-27 9,3885 9,3835 22,58 22,58 211,99233 211,87943 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-28 9,3935 9,3885 22,58 22,58 212,10523 211,99233 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-29 9,3845 9,3795 22,57 22,57 211,808165 211,695315 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-09-30 9,3435 9,3385 22,86 22,86 213,59241 213,47811 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-03 9,3025 9,2975 23,26 23,26 216,37615 216,25985 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-04 9,3185 9,3135 23,4 23,4 218,0529 217,9359 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-05 9,3105 9,3055 23,08 23,08 214,88634 214,77094 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-06 9,3015 9,2965 22,5 22,5 209,28375 209,17125 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-07 9,3385 9,3335 22,04 22,04 205,82054 205,71034 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-10 9,3465 9,3415 22,26 22,26 208,05309 207,94179 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-11 9,3395 9,3345 22,26 22,26 207,89727 207,78597 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-12 9,3375 9,3325 22,36 22,36 208,7865 208,6747 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-13 9,3815 9,3765 22,08 22,08 207,14352 207,03312 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-14 9,4135 9,4085 22,02 22,02 207,28527 207,17517 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-17 9,4575 9,4525 22,13 22,13 209,294475 209,183825 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-18 9,4625 9,4575 22,57 22,57 213,568625 213,455775 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-19 9,4605 9,4555 22,21 22,21 210,117705 210,006655 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-20 9,4935 9,4885 22,65 22,65 215,027775 214,914525 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-21 9,4915 9,4865 22,2 22,2 210,7113 210,6003 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-24 9,5455 9,5405 22,81 22,81 217,732855 217,618805 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-25 9,5465 9,5415 22,83 22,83 217,946595 217,832445 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-26 9,4975 9,4925 22,83 22,83 216,827925 216,713775 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-27 9,5355 9,5305 22,59 22,59 215,406945 215,293995 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-28 9,5135 9,5085 22,51 22,51 214,148885 214,036335 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-10-31 9,5495 9,5445 23,2 23,2 221,5484 221,4324 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-02 9,5855 9,5805 23,61 23,61 226,313655 226,195605 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-03 9,6515 9,6465 24,13 24,13 232,890695 232,770045 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-04 9,5875 9,5825 24,17 24,17 231,729875 231,609025 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-07 9,6075 9,6025 24,42 24,42 234,61515 234,49305 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-08 9,5685 9,5635 24,45 24,45 233,949825 233,827575 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-09 9,5575 9,5525 24,47 24,47 233,872025 233,749675 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-10 9,6105 9,6055 24,54 24,54 235,84167 235,71897 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-11 9,6365 9,6315 25,03 25,03 241,201595 241,076445 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-14 9,5505 9,5455 25,1 25,1 239,71755 239,59205 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-15 9,5805 9,5755 25,12 25,12 240,66216 240,53656 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-16 9,6235 9,6185 25,15 25,15 242,031025 241,905275 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-17 9,6355 9,6305 25,31 25,31 243,874505 243,747955 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-18 9,6085 9,6035 25,56 25,56 245,59326 245,46546 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-21 9,5915 9,5865 25,31 25,31 242,760865 242,634315 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-22 9,5585 9,5535 25,79 25,79 246,513715 246,384765 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-23 9,5155 9,5105 25,87 25,87 246,165985 246,036635 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-24 9,5125 9,5075 25,91 25,91 246,468875 246,339325 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-25 9,4965 9,4915 26,01 26,01 247,003965 246,873915 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-28 9,4835 9,4785 25,92 25,92 245,81232 245,68272 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-29 9,4785 9,4735 25,72 25,72 243,78702 243,65842 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-11-30 9,5295 9,5245 25,48 25,48 242,81166 242,68426 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-01 9,5165 9,5115 25,79 25,79 245,430535 245,301585 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-02 9,4905 9,4855 26,06 26,06 247,32243 247,19213 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-05 9,4065 9,4015 25,99 25,99 244,474935 244,344985 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-06 9,4185 9,4135 26,02 26,02 245,06937 244,93927 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-07 9,4255 9,4205 25,97 25,97 244,780235 244,650385 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-08 9,3965 9,3915 25,62 25,62 240,73833 240,61023 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-12 9,4315 9,4265 25,48 25,48 240,31462 240,18722 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-13 9,4295 9,4245 25,53 25,53 240,735135 240,607485 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-14 9,4365 9,4315 25,51 25,51 240,725115 240,597565 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-15 9,4345 9,4295 25,6 25,6 241,5232 241,3952 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-16 9,4765 9,4715 25,47 25,47 241,366455 241,239105 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-19 9,4535 9,4485 25,33 25,33 239,457155 239,330505 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-20 9,4015 9,3965 25,25 25,25 237,387875 237,261625 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-21 9,4485 9,4435 25,66 25,66 242,44851 242,32021 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-22 9,4365 9,4315 25,54 25,54 241,00821 240,88051 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-23 9,4425 9,4375 25,69 25,69 242,577825 242,449375 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-27 9,4915 9,4865 25,64 25,64 243,36206 243,23386 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-28 9,4345 9,4295 25,24 25,24 238,12678 238,00058 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-29 9,4115 9,4065 25,45 25,45 239,522675 239,395425 174086 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Equity Growth Fund EUR 2005-12-30 9,4325 9,4275 25,27 25,27 238,359275 238,232925 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-03 9,0065 9,0015 23,91 23,91 215,345415 215,225865 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-04 9,0345 9,0295 23,87 23,87 215,653515 215,534165 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-05 9,0615 9,0565 23,84 23,84 216,02616 215,90696 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-07 9,0615 9,0565 23,28 23,28 210,95172 210,83532 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-10 9,08619 9,08119 23,48 23,48 213,3437412 213,2263412 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-11 9,08619 9,08119 23,28 23,28 211,5265032 211,4101032 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-12 9,0455 9,0405 23,08 23,08 208,77014 208,65474 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-13 9,0505 9,0455 22,83 22,83 206,622915 206,508765 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-14 9,0455 9,0405 23,19 23,19 209,765145 209,649195 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-17 9,0685 9,0635 23,43 23,43 212,474955 212,357805 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-18 9,0585 9,0535 23,52 23,52 213,05592 212,93832 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-19 9,0225 9,0175 23,74 23,74 214,19415 214,07545 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-20 9,0315 9,0265 24,1 24,1 217,65915 217,53865 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-21 9,0505 9,0455 23,86 23,86 215,94493 215,82563 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-24 9,0655 9,0605 23,65 23,65 214,399075 214,280825 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-25 9,0715 9,0665 23,49 23,49 213,089535 212,972085 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-26 9,0885 9,0835 23,11 23,11 210,035235 209,919685 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-27 9,0675 9,0625 23,05 23,05 209,005875 208,890625 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-28 9,0955 9,0905 22,85 22,85 207,832175 207,717925 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-01-31 9,1075 9,1025 23,03 23,03 209,745725 209,630575 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-01 9,1035 9,0985 22,89 22,89 208,379115 208,264665 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-02 9,0905 9,0855 22,96 22,96 208,71788 208,60308 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-03 9,0695 9,0645 23,28 23,28 211,13796 211,02156 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-04 9,0895 9,0845 23,43 23,43 212,966985 212,849835 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-07 9,0755 9,0705 23,96 23,96 217,44898 217,32918 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-08 9,0895 9,0845 24,08 24,08 218,87516 218,75476 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-09 9,0695 9,0645 24,03 24,03 217,940085 217,819935 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-10 9,0805 9,0755 24,16 24,16 219,38488 219,26408 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-11 9,0935 9,0885 24,08 24,08 218,97148 218,85108 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-14 9,1105 9,1055 24,03 24,03 218,925315 218,805165 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-15 9,0765 9,0715 24,06 24,06 218,38059 218,26029 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-16 9,0705 9,0655 24,06 24,06 218,23623 218,11593 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-17 9,0925 9,0875 24,04 24,04 218,5837 218,4635 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-18 9,0945 9,0895 24,11 24,11 219,268395 219,147845 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-21 9,1185 9,1135 23,89 23,89 217,840965 217,721515 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-22 9,0975 9,0925 23,62 23,62 214,88295 214,76485 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-23 9,1045 9,0995 23,04 23,04 209,76768 209,65248 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-24 9,0715 9,0665 22,86 22,86 207,37449 207,26019 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-25 9,0845 9,0795 22,97 22,97 208,670965 208,556115 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-02-28 9,0505 9,0455 23,27 23,27 210,605135 210,488785 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-01 9,0565 9,0515 23,16 23,16 209,74854 209,63274 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-02 9,0645 9,0595 23,59 23,59 213,831555 213,713605 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-03 9,0675 9,0625 23,47 23,47 212,814225 212,696875 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-04 9,0415 9,0365 23,61 23,61 213,469815 213,351765 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-07 9,0425 9,0375 23,91 23,91 216,206175 216,086625 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-08 9,0345 9,0295 23,95 23,95 216,376275 216,256525 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-09 9,0365 9,0315 23,58 23,58 213,08067 212,96277 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-10 9,0655 9,0605 22,94 22,94 207,96257 207,84787 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-11 9,0795 9,0745 23,13 23,13 210,008835 209,893185 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-14 9,0695 9,0645 22,91 22,91 207,782245 207,667695 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-15 9,1035 9,0985 23,25 23,25 211,656375 211,540125 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-16 9,0975 9,0925 23,2 23,2 211,062 210,946 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-17 9,1045 9,0995 22,97 22,97 209,130365 209,015515 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-18 9,1035 9,0985 23,31 23,31 212,202585 212,086035 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-21 9,1265 9,1215 23,41 23,41 213,651365 213,534315 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-22 9,1265 9,1215 23,27 23,27 212,373655 212,257305 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-23 9,1165 9,1115 23,16 23,16 211,13814 211,02234 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-24 9,1135 9,1085 23,16 23,16 211,06866 210,95286 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-29 9,1315 9,1265 23,16 23,16 211,48554 211,36974 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-30 9,1425 9,1375 23,11 23,11 211,283175 211,167625 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-03-31 9,1405 9,1355 23,39 23,39 213,796295 213,679345 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-01 9,1645 9,1595 23,36 23,36 214,08272 213,96592 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-04 9,1695 9,1645 23,45 23,45 215,024775 214,907525 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-05 9,1745 9,1695 23,5 23,5 215,60075 215,48325 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-06 9,1705 9,1655 23,37 23,37 214,314585 214,197735 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-07 9,1505 9,1455 23,41 23,41 214,213205 214,096155 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-08 9,1625 9,1575 23,74 23,74 217,51775 217,39905 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-11 9,1705 9,1655 23,39 23,39 214,497995 214,381045 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-12 9,1525 9,1475 23,4 23,4 214,1685 214,0515 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-13 9,1495 9,1445 23,8 23,8 217,7581 217,6391 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-14 9,1685 9,1635 23,99 23,99 219,952315 219,832365 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-15 9,1925 9,1875 23,83 23,83 219,057275 218,938125 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-18 9,1805 9,1755 23,44 23,44 215,19092 215,07372 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-19 9,2035 9,1985 23,47 23,47 216,006145 215,888795 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-20 9,1915 9,1865 23,49 23,49 215,908335 215,790885 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-21 9,1855 9,1805 23,31 23,31 214,114005 213,997455 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-22 9,1625 9,1575 23,49 23,49 215,227125 215,109675 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-25 9,1685 9,1635 23,75 23,75 217,751875 217,633125 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-26 9,1375 9,1325 23,96 23,96 218,9345 218,8147 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-27 9,1465 9,1415 24,11 24,11 220,522115 220,401565 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-28 9,1505 9,1455 24,29 24,29 222,265645 222,144195 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-04-29 9,1705 9,1655 24,09 24,09 220,917345 220,796895 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-02 9,1935 9,1885 24,57 24,57 225,884295 225,761445 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-03 9,2245 9,2195 24,54 24,54 226,36923 226,24653 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-04 9,1915 9,1865 24,29 24,29 223,261535 223,140085 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-06 9,1715 9,1665 24,67 24,67 226,260905 226,137555 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-09 9,1815 9,1765 24,7 24,7 226,78305 226,65955 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-10 9,1985 9,1935 25,07 25,07 230,606395 230,481045 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-11 9,2105 9,2055 24,94 24,94 229,70987 229,58517 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-12 9,2315 9,2265 25,18 25,18 232,44917 232,32327 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-13 9,2045 9,1995 25,22 25,22 232,13749 232,01139 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-17 9,2325 9,2275 25,28 25,28 233,3976 233,2712 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-18 9,2095 9,2045 25,48 25,48 234,65806 234,53066 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-19 9,1905 9,1855 25,66 25,66 235,82823 235,69993 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-20 9,1955 9,1905 26,03 26,03 239,358865 239,228715 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-23 9,1805 9,1755 26,25 26,25 240,988125 240,856875 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-24 9,1815 9,1765 26,2 26,2 240,5553 240,4243 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-25 9,1785 9,1735 26,01 26,01 238,732785 238,602735 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-26 9,1945 9,1895 25,77 25,77 236,942265 236,813415 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-27 9,1955 9,1905 25,71 25,71 236,416305 236,287755 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-30 9,1905 9,1855 25,91 25,91 238,125855 237,996305 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-05-31 9,1665 9,1615 26,28 26,28 240,89562 240,76422 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-01 9,1455 9,1405 26,69 26,69 244,093395 243,959945 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-02 9,1565 9,1515 26,9 26,9 246,30985 246,17535 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-03 9,1315 9,1265 26,87 26,87 245,363405 245,229055 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-07 9,1455 9,1405 27,13 27,13 248,117415 247,981765 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-08 9,1455 9,1405 27,32 27,32 249,85506 249,71846 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-09 9,1965 9,1915 27,64 27,64 254,19126 254,05306 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-10 9,1975 9,1925 27,68 27,68 254,5868 254,4484 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-13 9,2365 9,2315 28,07 28,07 259,268555 259,128205 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-14 9,2985 9,2935 27,99 27,99 260,265015 260,125065 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-15 9,2695 9,2645 28,52 28,52 264,36614 264,22354 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-16 9,2695 9,2645 28,33 28,33 262,604935 262,463285 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-17 9,2695 9,2645 28,24 28,24 261,77068 261,62948 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-20 9,2255 9,2205 28,42 28,42 262,18871 262,04661 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-21 9,2725 9,2675 28,71 28,71 266,213475 266,069925 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-22 9,2615 9,2565 28,38 28,38 262,84137 262,69947 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-27 9,3855 9,3805 28,09 28,09 263,638695 263,498245 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-28 9,3995 9,3945 28,18 28,18 264,87791 264,73701 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-29 9,4215 9,4165 28,44 28,44 267,94746 267,80526 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-06-30 9,4415 9,4365 28,53 28,53 269,365995 269,223345 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-01 9,4595 9,4545 28,51 28,51 269,690345 269,547795 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-04 9,4795 9,4745 29,14 29,14 276,23263 276,08693 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-05 9,4575 9,4525 29,22 29,22 276,34815 276,20205 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-06 9,4195 9,4145 29,5 29,5 277,87525 277,72775 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-07 9,3965 9,3915 29,19 29,19 274,283835 274,137885 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-08 9,4175 9,4125 29,51 29,51 277,910425 277,762875 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-11 9,4665 9,4615 29,7 29,7 281,15505 281,00655 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-12 9,4645 9,4595 29,67 29,67 280,811715 280,663365 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-13 9,3915 9,3865 29,62 29,62 278,17623 278,02813 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-14 9,3675 9,3625 29,72 29,72 278,4021 278,2535 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-15 9,4055 9,4005 29,22 29,22 274,82871 274,68261 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-18 9,3895 9,3845 29,43 29,43 276,332985 276,185835 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-19 9,4425 9,4375 29,71 29,71 280,536675 280,388125 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-20 9,4265 9,4215 29,67 29,67 279,684255 279,535905 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-21 9,4625 9,4575 29,75 29,75 281,509375 281,360625 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-22 9,4495 9,4445 29,37 29,37 277,531815 277,384965 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-25 9,4275 9,4225 29,81 29,81 281,033775 280,884725 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-26 9,4155 9,4105 30 30 282,465 282,315 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-27 9,4725 9,4675 30,3 30,3 287,01675 286,86525 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-28 9,4515 9,4465 30,14 30,14 284,86821 284,71751 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-07-29 9,3885 9,3835 30,54 30,54 286,72479 286,57209 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-01 9,3985 9,3935 30,09 30,09 282,800865 282,650415 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-02 9,3995 9,3945 30,13 30,13 283,206935 283,056285 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-03 9,3755 9,3705 30,15 30,15 282,671325 282,520575 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-04 9,3735 9,3685 30,05 30,05 281,673675 281,523425 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-05 9,3355 9,3305 29,52 29,52 275,58396 275,43636 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-08 9,3335 9,3285 28,6 28,6 266,9381 266,7951 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-09 9,3455 9,3405 27,73 27,73 259,150715 259,012065 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-10 9,3535 9,3485 27,95 27,95 261,430325 261,290575 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-11 9,3365 9,3315 27,98 27,98 261,23527 261,09537 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-12 9,3025 9,2975 28,1 28,1 261,40025 261,25975 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-16 9,2995 9,2945 28,67 28,67 266,616665 266,473315 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-17 9,3405 9,3355 28,85 28,85 269,473425 269,329175 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-18 9,3365 9,3315 28,84 28,84 269,26466 269,12046 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-19 9,3395 9,3345 28,78 28,78 268,79081 268,64691 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-22 9,3655 9,3605 28,58 28,58 267,66599 267,52309 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-23 9,3715 9,3665 28,7 28,7 268,96205 268,81855 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-24 9,3365 9,3315 28,79 28,79 268,797835 268,653885 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-25 9,3335 9,3285 28,65 28,65 267,404775 267,261525 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-26 9,3415 9,3365 28,73 28,73 268,381295 268,237645 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-29 9,3295 9,3245 28,4 28,4 264,9578 264,8158 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-30 9,3285 9,3235 28,58 28,58 266,60853 266,46563 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-08-31 9,3585 9,3535 28,54 28,54 267,09159 266,94889 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-01 9,3365 9,3315 28,62 28,62 267,21063 267,06753 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-02 9,3025 9,2975 28,34 28,34 263,63285 263,49115 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-05 9,2845 9,2795 28,27 28,27 262,472815 262,331465 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-06 9,3225 9,3175 28,43 28,43 265,038675 264,896525 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-07 9,3075 9,3025 29,07 29,07 270,569025 270,423675 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-08 9,3255 9,3205 29,1 29,1 271,37205 271,22655 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-09 9,3445 9,3395 29,06 29,06 271,55117 271,40587 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-12 9,3015 9,2965 29,4 29,4 273,4641 273,3171 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-13 9,3015 9,2965 29,3 29,3 272,53395 272,38745 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-14 9,3365 9,3315 29,11 29,11 271,785515 271,639965 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-15 9,3425 9,3375 29,13 29,13 272,147025 272,001375 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-16 9,3465 9,3415 29,12 29,12 272,17008 272,02448 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-19 9,3355 9,3305 29,4 29,4 274,4637 274,3167 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-20 9,3395 9,3345 29,05 29,05 271,312475 271,167225 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-21 9,3405 9,3355 28,72 28,72 268,25916 268,11556 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-22 9,3405 9,3355 28,16 28,16 263,02848 262,88768 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-23 9,3695 9,3645 28,56 28,56 267,59292 267,45012 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-26 9,3815 9,3765 28,81 28,81 270,281015 270,136965 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-27 9,3885 9,3835 28,95 28,95 271,797075 271,652325 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-28 9,3935 9,3885 28,88 28,88 271,28428 271,13988 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-29 9,3845 9,3795 28,62 28,62 268,58439 268,44129 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-09-30 9,3435 9,3385 29,02 29,02 271,14837 271,00327 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-03 9,3025 9,2975 29,75 29,75 276,749375 276,600625 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-04 9,3185 9,3135 29,88 29,88 278,43678 278,28738 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-05 9,3105 9,3055 29,44 29,44 274,10112 273,95392 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-06 9,3015 9,2965 28,7 28,7 266,95305 266,80955 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-07 9,3385 9,3335 28,48 28,48 265,96048 265,81808 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-10 9,3465 9,3415 28,31 28,31 264,599415 264,457865 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-11 9,3395 9,3345 28,17 28,17 263,093715 262,952865 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-12 9,3375 9,3325 28,11 28,11 262,477125 262,336575 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-13 9,3815 9,3765 27,67 27,67 259,586105 259,447755 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-14 9,4135 9,4085 27,67 27,67 260,471545 260,333195 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-17 9,4575 9,4525 28,02 28,02 264,99915 264,85905 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-18 9,4625 9,4575 28,35 28,35 268,261875 268,120125 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-19 9,4605 9,4555 27,99 27,99 264,799395 264,659445 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-20 9,4935 9,4885 28,44 28,44 269,99514 269,85294 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-21 9,4915 9,4865 27,97 27,97 265,477255 265,337405 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-24 9,5455 9,5405 28,86 28,86 275,48313 275,33883 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-25 9,5465 9,5415 28,54 28,54 272,45711 272,31441 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-26 9,4975 9,4925 28,45 28,45 270,203875 270,061625 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-27 9,5355 9,5305 28,02 28,02 267,18471 267,04461 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-28 9,5135 9,5085 28,27 28,27 268,946645 268,805295 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-10-31 9,5495 9,5445 29,15 29,15 278,367925 278,222175 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-02 9,5855 9,5805 28,61 28,61 274,241155 274,098105 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-03 9,6515 9,6465 29,2 29,2 281,8238 281,6778 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-04 9,5875 9,5825 28,95 28,95 277,558125 277,413375 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-07 9,6075 9,6025 29,42 29,42 282,65265 282,50555 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-08 9,5685 9,5635 29,3 29,3 280,35705 280,21055 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-09 9,5575 9,5525 29,61 29,61 282,997575 282,849525 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-10 9,6105 9,6055 29,71 29,71 285,527955 285,379405 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-11 9,6365 9,6315 30,54 30,54 294,29871 294,14601 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-14 9,5505 9,5455 30,7 30,7 293,20035 293,04685 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-15 9,5805 9,5755 30,59 30,59 293,067495 292,914545 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-16 9,6235 9,6185 30,65 30,65 294,960275 294,807025 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-17 9,6355 9,6305 30,55 30,55 294,364525 294,211775 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-18 9,6085 9,6035 30,65 30,65 294,500525 294,347275 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-21 9,5915 9,5865 30,58 30,58 293,30807 293,15517 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-22 9,5585 9,5535 31,11 31,11 297,364935 297,209385 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-23 9,5155 9,5105 31,27 31,27 297,549685 297,393335 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-24 9,5125 9,5075 31,42 31,42 298,88275 298,72565 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-25 9,4965 9,4915 31,45 31,45 298,664925 298,507675 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-28 9,4835 9,4785 31,54 31,54 299,10959 298,95189 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-29 9,4785 9,4735 31,31 31,31 296,771835 296,615285 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-11-30 9,5295 9,5245 31,48 31,48 299,98866 299,83126 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-01 9,5165 9,5115 31,59 31,59 300,626235 300,468285 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-02 9,4905 9,4855 31,77 31,77 301,513185 301,354335 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-05 9,4065 9,4015 31,35 31,35 294,893775 294,737025 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-06 9,4185 9,4135 31,49 31,49 296,588565 296,431115 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-07 9,4255 9,4205 31,44 31,44 296,33772 296,18052 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-08 9,3965 9,3915 31,41 31,41 295,144065 294,987015 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-12 9,4315 9,4265 31,05 31,05 292,848075 292,692825 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-13 9,4295 9,4245 31,02 31,02 292,50309 292,34799 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-14 9,4365 9,4315 30,93 30,93 291,870945 291,716295 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-15 9,4345 9,4295 31,16 31,16 293,97902 293,82322 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-16 9,4765 9,4715 30,96 30,96 293,39244 293,23764 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-19 9,4535 9,4485 30,77 30,77 290,884195 290,730345 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-20 9,4015 9,3965 30,66 30,66 288,24999 288,09669 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-21 9,4485 9,4435 31,11 31,11 293,942835 293,787285 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-22 9,4365 9,4315 30,73 30,73 289,983645 289,829995 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-23 9,4425 9,4375 31,27 31,27 295,266975 295,110625 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-27 9,4915 9,4865 31,28 31,28 296,89412 296,73772 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-28 9,4345 9,4295 30,99 30,99 292,375155 292,220205 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-29 9,4115 9,4065 31,09 31,09 292,603535 292,448085 823278 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Property Fund EUR 2005-12-30 9,4325 9,4275 31,18 31,18 294,10535 293,94945 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-03 9,0065 9,0015 26,07 26,07 234,799455 234,669105 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-04 9,0345 9,0295 25,85 25,85 233,541825 233,412575 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-05 9,0615 9,0565 25,62 25,62 232,15563 232,02753 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-07 9,0615 9,0565 25,59 25,59 231,883785 231,755835 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-10 9,08619 9,08119 25,74 25,74 233,8785306 233,7498306 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-11 9,08619 9,08119 25,82 25,82 234,6054258 234,4763258 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-12 9,0455 9,0405 25,78 25,78 233,19299 233,06409 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-13 9,0505 9,0455 25,65 25,65 232,145325 232,017075 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-14 9,0455 9,0405 25,9 25,9 234,27845 234,14895 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-17 9,0685 9,0635 26,13 26,13 236,959905 236,829255 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-18 9,0585 9,0535 26,21 26,21 237,423285 237,292235 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-19 9,0225 9,0175 26,51 26,51 239,186475 239,053925 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-20 9,0315 9,0265 26,5 26,5 239,33475 239,20225 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-21 9,0505 9,0455 26,22 26,22 237,30411 237,17301 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-24 9,0655 9,0605 25,87 25,87 234,524485 234,395135 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-25 9,0715 9,0665 25,57 25,57 231,958255 231,830405 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-26 9,0885 9,0835 25,72 25,72 233,75622 233,62762 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-27 9,0675 9,0625 26,11 26,11 236,752425 236,621875 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-28 9,0955 9,0905 26,23 26,23 238,574965 238,443815 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-01-31 9,1075 9,1025 26,01 26,01 236,886075 236,756025 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-01 9,1035 9,0985 26,47 26,47 240,969645 240,837295 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-02 9,0905 9,0855 26,6 26,6 241,8073 241,6743 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-03 9,0695 9,0645 26,92 26,92 244,15094 244,01634 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-04 9,0895 9,0845 26,9 26,9 244,50755 244,37305 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-07 9,0755 9,0705 27,53 27,53 249,848515 249,710865 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-08 9,0895 9,0845 27,68 27,68 251,59736 251,45896 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-09 9,0695 9,0645 27,75 27,75 251,678625 251,539875 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-10 9,0805 9,0755 27,39 27,39 248,714895 248,577945 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-11 9,0935 9,0885 27,18 27,18 247,16133 247,02543 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-14 9,1105 9,1055 27,2 27,2 247,8056 247,6696 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-15 9,0765 9,0715 27,23 27,23 247,153095 247,016945 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-16 9,0705 9,0655 27,08 27,08 245,62914 245,49374 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-17 9,0925 9,0875 27,07 27,07 246,133975 245,998625 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-18 9,0945 9,0895 26,97 26,97 245,278665 245,143815 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-21 9,1185 9,1135 26,97 26,97 245,925945 245,791095 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-22 9,0975 9,0925 26,66 26,66 242,53935 242,40605 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-23 9,1045 9,0995 26,39 26,39 240,267755 240,135805 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-24 9,0715 9,0665 26,33 26,33 238,852595 238,720945 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-25 9,0845 9,0795 26,76 26,76 243,10122 242,96742 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-02-28 9,0505 9,0455 26,91 26,91 243,548955 243,414405 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-01 9,0565 9,0515 26,88 26,88 243,43872 243,30432 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-02 9,0645 9,0595 27,16 27,16 246,19182 246,05602 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-03 9,0675 9,0625 27,17 27,17 246,363975 246,228125 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-04 9,0415 9,0365 27,22 27,22 246,10963 245,97353 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-07 9,0425 9,0375 27,21 27,21 246,046425 245,910375 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-08 9,0345 9,0295 27,16 27,16 245,37702 245,24122 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-09 9,0365 9,0315 26,69 26,69 241,184185 241,050735 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-10 9,0655 9,0605 26,2 26,2 237,5161 237,3851 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-11 9,0795 9,0745 26,05 26,05 236,520975 236,390725 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-14 9,0695 9,0645 26,19 26,19 237,530205 237,399255 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-15 9,1035 9,0985 26,27 26,27 239,148945 239,017595 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-16 9,0975 9,0925 26,16 26,16 237,9906 237,8598 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-17 9,1045 9,0995 26 26 236,717 236,587 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-18 9,1035 9,0985 26,19 26,19 238,420665 238,289715 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-21 9,1265 9,1215 26,4 26,4 240,9396 240,8076 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-22 9,1265 9,1215 26,38 26,38 240,75707 240,62517 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-23 9,1165 9,1115 26,56 26,56 242,13424 242,00144 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-24 9,1135 9,1085 26,35 26,35 240,140725 240,008975 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-29 9,1315 9,1265 26,56 26,56 242,53264 242,39984 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-30 9,1425 9,1375 26,16 26,16 239,1678 239,037 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-03-31 9,1405 9,1355 26,5 26,5 242,22325 242,09075 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-01 9,1645 9,1595 26,51 26,51 242,950895 242,818345 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-04 9,1695 9,1645 26,64 26,64 244,27548 244,14228 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-05 9,1745 9,1695 26,81 26,81 245,968345 245,834295 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-06 9,1705 9,1655 26,64 26,64 244,30212 244,16892 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-07 9,1505 9,1455 26,63 26,63 243,677815 243,544665 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-08 9,1625 9,1575 26,86 26,86 246,10475 245,97045 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-11 9,1705 9,1655 26,33 26,33 241,459265 241,327615 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-12 9,1525 9,1475 26,23 26,23 240,070075 239,938925 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-13 9,1495 9,1445 26,47 26,47 242,187265 242,054915 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-14 9,1685 9,1635 26,44 26,44 242,41514 242,28294 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-15 9,1925 9,1875 26,07 26,07 239,648475 239,518125 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-18 9,1805 9,1755 25,28 25,28 232,08304 231,95664 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-19 9,2035 9,1985 25,45 25,45 234,229075 234,101825 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-20 9,1915 9,1865 25,68 25,68 236,03772 235,90932 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-21 9,1855 9,1805 25,27 25,27 232,117585 231,991235 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-22 9,1625 9,1575 25,8 25,8 236,3925 236,2635 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-25 9,1685 9,1635 25,53 25,53 234,071805 233,944155 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-26 9,1375 9,1325 25,79 25,79 235,656125 235,527175 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-27 9,1465 9,1415 25,68 25,68 234,88212 234,75372 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-28 9,1505 9,1455 25,64 25,64 234,61882 234,49062 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-04-29 9,1705 9,1655 25,18 25,18 230,91319 230,78729 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-02 9,1935 9,1885 25,44 25,44 233,88264 233,75544 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-03 9,2245 9,2195 25,75 25,75 237,530875 237,402125 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-04 9,1915 9,1865 25,47 25,47 234,107505 233,980155 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-06 9,1715 9,1665 25,95 25,95 238,000425 237,870675 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-09 9,1815 9,1765 26,33 26,33 241,748895 241,617245 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-10 9,1985 9,1935 26,53 26,53 244,036205 243,903555 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-11 9,2105 9,2055 26,21 26,21 241,407205 241,276155 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-12 9,2315 9,2265 26,55 26,55 245,096325 244,963575 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-13 9,2045 9,1995 26,61 26,61 244,931745 244,798695 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-17 9,2325 9,2275 26,62 26,62 245,76915 245,63605 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-18 9,2095 9,2045 26,81 26,81 246,906695 246,772645 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-19 9,1905 9,1855 27,26 27,26 250,53303 250,39673 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-20 9,1955 9,1905 27,59 27,59 253,703845 253,565895 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-23 9,1805 9,1755 27,63 27,63 253,657215 253,519065 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-24 9,1815 9,1765 27,68 27,68 254,14392 254,00552 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-25 9,1785 9,1735 27,77 27,77 254,886945 254,748095 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-26 9,1945 9,1895 27,58 27,58 253,58431 253,44641 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-27 9,1955 9,1905 27,9 27,9 256,55445 256,41495 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-30 9,1905 9,1855 28,11 28,11 258,344955 258,204405 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-05-31 9,1665 9,1615 28,51 28,51 261,336915 261,194365 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-01 9,1455 9,1405 28,66 28,66 262,11003 261,96673 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-02 9,1565 9,1515 28,89 28,89 264,531285 264,386835 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-03 9,1315 9,1265 28,99 28,99 264,722185 264,577235 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-07 9,1455 9,1405 28,91 28,91 264,396405 264,251855 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-08 9,1455 9,1405 28,88 28,88 264,12204 263,97764 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-09 9,1965 9,1915 28,82 28,82 265,04313 264,89903 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-10 9,1975 9,1925 29,15 29,15 268,107125 267,961375 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-13 9,2365 9,2315 29,58 29,58 273,21567 273,06777 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-14 9,2985 9,2935 29,68 29,68 275,97948 275,83108 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-15 9,2695 9,2645 30,05 30,05 278,548475 278,398225 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-16 9,2695 9,2645 29,93 29,93 277,436135 277,286485 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-17 9,2695 9,2645 30,06 30,06 278,64117 278,49087 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-20 9,2255 9,2205 29,87 29,87 275,565685 275,416335 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-21 9,2725 9,2675 30,08 30,08 278,9168 278,7664 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-22 9,2615 9,2565 29,87 29,87 276,641005 276,491655 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-27 9,3855 9,3805 29,53 29,53 277,153815 277,006165 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-28 9,3995 9,3945 29,61 29,61 278,319195 278,171145 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-29 9,4215 9,4165 30,21 30,21 284,623515 284,472465 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-06-30 9,4415 9,4365 30,39 30,39 286,927185 286,775235 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-01 9,4595 9,4545 30,24 30,24 286,05528 285,90408 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-04 9,4795 9,4745 30,97 30,97 293,580115 293,425265 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-05 9,4575 9,4525 31,01 31,01 293,277075 293,122025 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-06 9,4195 9,4145 31,27 31,27 294,547765 294,391415 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-07 9,3965 9,3915 30,18 30,18 283,58637 283,43547 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-08 9,4175 9,4125 31,17 31,17 293,543475 293,387625 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-11 9,4665 9,4615 31,31 31,31 296,396115 296,239565 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-12 9,4645 9,4595 31,09 31,09 294,251305 294,095855 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-13 9,3915 9,3865 31,08 31,08 291,88782 291,73242 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-14 9,3675 9,3625 31,23 31,23 292,547025 292,390875 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-15 9,4055 9,4005 31,06 31,06 292,13483 291,97953 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-18 9,3895 9,3845 31,15 31,15 292,482925 292,327175 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-19 9,4425 9,4375 31,16 31,16 294,2283 294,0725 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-20 9,4265 9,4215 31,17 31,17 293,824005 293,668155 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-21 9,4625 9,4575 31,24 31,24 295,6085 295,4523 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-22 9,4495 9,4445 30,96 30,96 292,55652 292,40172 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-25 9,4275 9,4225 31,42 31,42 296,21205 296,05495 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-26 9,4155 9,4105 31,35 31,35 295,175925 295,019175 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-27 9,4725 9,4675 31,65 31,65 299,804625 299,646375 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-28 9,4515 9,4465 31,36 31,36 296,39904 296,24224 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-07-29 9,3885 9,3835 31,59 31,59 296,582715 296,424765 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-01 9,3985 9,3935 31,33 31,33 294,455005 294,298355 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-02 9,3995 9,3945 31,47 31,47 295,802265 295,644915 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-03 9,3755 9,3705 31,39 31,39 294,296945 294,139995 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-04 9,3735 9,3685 31,24 31,24 292,82814 292,67194 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-05 9,3355 9,3305 30,77 30,77 287,253335 287,099485 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-08 9,3335 9,3285 30,54 30,54 285,04509 284,89239 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-09 9,3455 9,3405 30,44 30,44 284,47702 284,32482 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-10 9,3535 9,3485 30,49 30,49 285,188215 285,035765 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-11 9,3365 9,3315 30,47 30,47 284,483155 284,330805 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-12 9,3025 9,2975 30,49 30,49 283,633225 283,480775 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-16 9,2995 9,2945 30,81 30,81 286,517595 286,363545 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-17 9,3405 9,3355 30,37 30,37 283,670985 283,519135 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-18 9,3365 9,3315 30,57 30,57 285,416805 285,263955 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-19 9,3395 9,3345 30,42 30,42 284,10759 283,95549 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-22 9,3655 9,3605 30,26 30,26 283,40003 283,24873 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-23 9,3715 9,3665 30,28 30,28 283,76902 283,61762 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-24 9,3365 9,3315 30,21 30,21 282,055665 281,904615 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-25 9,3335 9,3285 29,9 29,9 279,07165 278,92215 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-26 9,3415 9,3365 30 30 280,245 280,095 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-29 9,3295 9,3245 29,63 29,63 276,433085 276,284935 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-30 9,3285 9,3235 30,07 30,07 280,507995 280,357645 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-08-31 9,3585 9,3535 30,05 30,05 281,222925 281,072675 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-01 9,3365 9,3315 30,15 30,15 281,495475 281,344725 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-02 9,3025 9,2975 29,81 29,81 277,307525 277,158475 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-05 9,2845 9,2795 29,53 29,53 274,171285 274,023635 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-06 9,3225 9,3175 29,7 29,7 276,87825 276,72975 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-07 9,3075 9,3025 30,06 30,06 279,78345 279,63315 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-08 9,3255 9,3205 30,4 30,4 283,4952 283,3432 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-09 9,3445 9,3395 30,19 30,19 282,110455 281,959505 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-12 9,3015 9,2965 30,53 30,53 283,974795 283,822145 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-13 9,3015 9,2965 30,83 30,83 286,765245 286,611095 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-14 9,3365 9,3315 30,6 30,6 285,6969 285,5439 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-15 9,3425 9,3375 30,4 30,4 284,012 283,86 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-16 9,3465 9,3415 30,31 30,31 283,292415 283,140865 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-19 9,3355 9,3305 30,93 30,93 288,747015 288,592365 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-20 9,3395 9,3345 30,7 30,7 286,72265 286,56915 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-21 9,3405 9,3355 30,18 30,18 281,89629 281,74539 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-22 9,3405 9,3355 29,74 29,74 277,78647 277,63777 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-23 9,3695 9,3645 29,92 29,92 280,33544 280,18584 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-26 9,3815 9,3765 30,15 30,15 282,852225 282,701475 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-27 9,3885 9,3835 30,58 30,58 287,10033 286,94743 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-28 9,3935 9,3885 30,61 30,61 287,535035 287,381985 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-29 9,3845 9,3795 30,43 30,43 285,570335 285,418185 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-09-30 9,3435 9,3385 30,74 30,74 287,21919 287,06549 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-03 9,3025 9,2975 31,3 31,3 291,16825 291,01175 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-04 9,3185 9,3135 31,58 31,58 294,27823 294,12033 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-05 9,3105 9,3055 31,41 31,41 292,442805 292,285755 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-06 9,3015 9,2965 30,4 30,4 282,7656 282,6136 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-07 9,3385 9,3335 29,83 29,83 278,567455 278,418305 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-10 9,3465 9,3415 30,05 30,05 280,862325 280,712075 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-11 9,3395 9,3345 29,97 29,97 279,904815 279,754965 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-12 9,3375 9,3325 29,7 29,7 277,32375 277,17525 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-13 9,3815 9,3765 29,16 29,16 273,56454 273,41874 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-14 9,4135 9,4085 29,11 29,11 274,026985 273,881435 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-17 9,4575 9,4525 29,46 29,46 278,61795 278,47065 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-18 9,4625 9,4575 29,91 29,91 283,023375 282,873825 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-19 9,4605 9,4555 29,46 29,46 278,70633 278,55903 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-20 9,4935 9,4885 30,01 30,01 284,899935 284,749885 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-21 9,4915 9,4865 29,53 29,53 280,283995 280,136345 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-24 9,5455 9,5405 30,27 30,27 288,942285 288,790935 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-25 9,5465 9,5415 30,17 30,17 288,017905 287,867055 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-26 9,4975 9,4925 30,12 30,12 286,0647 285,9141 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-27 9,5355 9,5305 29,73 29,73 283,490415 283,341765 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-28 9,5135 9,5085 29,5 29,5 280,64825 280,50075 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-10-31 9,5495 9,5445 30,41 30,41 290,400295 290,248245 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-02 9,5855 9,5805 30,89 30,89 296,096095 295,941645 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-03 9,6515 9,6465 31,5 31,5 304,02225 303,86475 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-04 9,5875 9,5825 31,58 31,58 302,77325 302,61535 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-07 9,6075 9,6025 31,84 31,84 305,9028 305,7436 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-08 9,5685 9,5635 31,65 31,65 302,843025 302,684775 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-09 9,5575 9,5525 31,8 31,8 303,9285 303,7695 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-10 9,6105 9,6055 31,86 31,86 306,19053 306,03123 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-11 9,6365 9,6315 32,39 32,39 312,126235 311,964285 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-14 9,5505 9,5455 32,47 32,47 310,104735 309,942385 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-15 9,5805 9,5755 32,32 32,32 309,64176 309,48016 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-16 9,6235 9,6185 32,13 32,13 309,203055 309,042405 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-17 9,6355 9,6305 32,23 32,23 310,552165 310,391015 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-18 9,6085 9,6035 32,5 32,5 312,27625 312,11375 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-21 9,5915 9,5865 32,22 32,22 309,03813 308,87703 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-22 9,5585 9,5535 33 33 315,4305 315,2655 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-23 9,5155 9,5105 33 33 314,0115 313,8465 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-24 9,5125 9,5075 33,12 33,12 315,054 314,8884 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-25 9,4965 9,4915 33,23 33,23 315,568695 315,402545 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-28 9,4835 9,4785 32,99 32,99 312,860665 312,695715 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-29 9,4785 9,4735 32,69 32,69 309,852165 309,688715 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-11-30 9,5295 9,5245 32,79 32,79 312,472305 312,308355 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-01 9,5165 9,5115 33,42 33,42 318,04143 317,87433 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-02 9,4905 9,4855 33,66 33,66 319,45023 319,28193 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-05 9,4065 9,4015 33,56 33,56 315,68214 315,51434 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-06 9,4185 9,4135 33,79 33,79 318,251115 318,082165 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-07 9,4255 9,4205 33,9 33,9 319,52445 319,35495 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-08 9,3965 9,3915 33,59 33,59 315,628435 315,460485 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-12 9,4315 9,4265 33,26 33,26 313,69169 313,52539 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-13 9,4295 9,4245 33,19 33,19 312,965105 312,799155 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-14 9,4365 9,4315 33,14 33,14 312,72561 312,55991 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-15 9,4345 9,4295 33,18 33,18 313,03671 312,87081 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-16 9,4765 9,4715 33,24 33,24 314,99886 314,83266 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-19 9,4535 9,4485 32,99 32,99 311,870965 311,706015 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-20 9,4015 9,3965 32,69 32,69 307,335035 307,171585 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-21 9,4485 9,4435 33,3 33,3 314,63505 314,46855 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-22 9,4365 9,4315 33,24 33,24 313,66926 313,50306 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-23 9,4425 9,4375 33,31 33,31 314,529675 314,363125 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-27 9,4915 9,4865 33,29 33,29 315,972035 315,805585 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-28 9,4345 9,4295 32,7 32,7 308,50815 308,34465 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-29 9,4115 9,4065 33,02 33,02 310,76773 310,60263 209916 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Small Cap Growth Fund EUR 2005-12-30 9,4325 9,4275 32,96 32,96 310,8952 310,7304 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-03 9,0065 9,0015 13,49 13,49 121,497685 121,430235 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-04 9,0345 9,0295 13,51 13,51 122,056095 121,988545 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-05 9,0615 9,0565 13,5 13,5 122,33025 122,26275 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-07 9,0615 9,0565 13,52 13,52 122,51148 122,44388 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-10 9,08619 9,08119 13,6 13,6 123,572184 123,504184 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-11 9,08619 9,08119 13,56 13,56 123,2087364 123,1409364 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-12 9,0455 9,0405 13,52 13,52 122,29516 122,22756 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-13 9,0505 9,0455 13,43 13,43 121,548215 121,481065 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-14 9,0455 9,0405 13,5 13,5 122,11425 122,04675 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-17 9,0685 9,0635 13,58 13,58 123,15023 123,08233 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-18 9,0585 9,0535 13,61 13,61 123,286185 123,218135 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-19 9,0225 9,0175 13,66 13,66 123,24735 123,17905 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-20 9,0315 9,0265 13,72 13,72 123,91218 123,84358 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-21 9,0505 9,0455 13,62 13,62 123,26781 123,19971 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-24 9,0655 9,0605 13,41 13,41 121,568355 121,501305 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-25 9,0715 9,0665 13,42 13,42 121,73953 121,67243 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-26 9,0885 9,0835 13,47 13,47 122,422095 122,354745 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-27 9,0675 9,0625 13,49 13,49 122,320575 122,253125 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-28 9,0955 9,0905 13,49 13,49 122,698295 122,630845 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-01-31 9,1075 9,1025 13,45 13,45 122,495875 122,428625 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-01 9,1035 9,0985 13,53 13,53 123,170355 123,102705 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-02 9,0905 9,0855 13,59 13,59 123,539895 123,471945 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-03 9,0695 9,0645 13,72 13,72 124,43354 124,36494 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-04 9,0895 9,0845 13,77 13,77 125,162415 125,093565 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-07 9,0755 9,0705 14,03 14,03 127,329265 127,259115 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-08 9,0895 9,0845 14,13 14,13 128,434635 128,363985 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-09 9,0695 9,0645 14,09 14,09 127,789255 127,718805 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-10 9,0805 9,0755 13,99 13,99 127,036195 126,966245 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-11 9,0935 9,0885 13,94 13,94 126,76339 126,69369 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-14 9,1105 9,1055 13,9 13,9 126,63595 126,56645 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-15 9,0765 9,0715 13,95 13,95 126,617175 126,547425 138255 Morgan Stanley Investment 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2005-02-24 9,0715 9,0665 13,57 13,57 123,100255 123,032405 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-25 9,0845 9,0795 13,74 13,74 124,82103 124,75233 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-02-28 9,0505 9,0455 13,76 13,76 124,53488 124,46608 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-01 9,0565 9,0515 13,73 13,73 124,345745 124,277095 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-02 9,0645 9,0595 13,94 13,94 126,35913 126,28943 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-03 9,0675 9,0625 13,91 13,91 126,128925 126,059375 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-04 9,0415 9,0365 13,96 13,96 126,21934 126,14954 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-07 9,0425 9,0375 13,97 13,97 126,323725 126,253875 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-08 9,0345 9,0295 13,91 13,91 125,669895 125,600345 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-09 9,0365 9,0315 13,71 13,71 123,890415 123,821865 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-10 9,0655 9,0605 13,55 13,55 122,837525 122,769775 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-11 9,0795 9,0745 13,58 13,58 123,29961 123,23171 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-14 9,0695 9,0645 13,54 13,54 122,80103 122,73333 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-15 9,1035 9,0985 13,64 13,64 124,17174 124,10354 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-16 9,0975 9,0925 13,58 13,58 123,54405 123,47615 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-17 9,1045 9,0995 13,46 13,46 122,54657 122,47927 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-18 9,1035 9,0985 13,56 13,56 123,44346 123,37566 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-21 9,1265 9,1215 13,67 13,67 124,759255 124,690905 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-22 9,1265 9,1215 13,6 13,6 124,1204 124,0524 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-23 9,1165 9,1115 13,63 13,63 124,257895 124,189745 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-24 9,1135 9,1085 13,69 13,69 124,763815 124,695365 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-29 9,1315 9,1265 13,74 13,74 125,46681 125,39811 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-30 9,1425 9,1375 13,62 13,62 124,52085 124,45275 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-03-31 9,1405 9,1355 13,8 13,8 126,1389 126,0699 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-01 9,1645 9,1595 13,85 13,85 126,928325 126,859075 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-04 9,1695 9,1645 13,82 13,82 126,72249 126,65339 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-05 9,1745 9,1695 13,94 13,94 127,89253 127,82283 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-06 9,1705 9,1655 13,93 13,93 127,745065 127,675415 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-07 9,1505 9,1455 13,98 13,98 127,92399 127,85409 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-08 9,1625 9,1575 14,12 14,12 129,3745 129,3039 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-11 9,1705 9,1655 13,89 13,89 127,378245 127,308795 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-12 9,1525 9,1475 13,89 13,89 127,128225 127,058775 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-13 9,1495 9,1445 13,98 13,98 127,91001 127,84011 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-14 9,1685 9,1635 13,98 13,98 128,17563 128,10573 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-15 9,1925 9,1875 13,89 13,89 127,683825 127,614375 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-18 9,1805 9,1755 13,51 13,51 124,028555 123,961005 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-19 9,2035 9,1985 13,53 13,53 124,523355 124,455705 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-20 9,1915 9,1865 13,54 13,54 124,45291 124,38521 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-21 9,1855 9,1805 13,3 13,3 122,16715 122,10065 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-22 9,1625 9,1575 13,53 13,53 123,968625 123,900975 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-25 9,1685 9,1635 13,54 13,54 124,14149 124,07379 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-26 9,1375 9,1325 13,61 13,61 124,361375 124,293325 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-27 9,1465 9,1415 13,57 13,57 124,118005 124,050155 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-28 9,1505 9,1455 13,64 13,64 124,81282 124,74462 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-04-29 9,1705 9,1655 13,5 13,5 123,80175 123,73425 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-02 9,1935 9,1885 13,76 13,76 126,50256 126,43376 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-03 9,2245 9,2195 13,79 13,79 127,205855 127,136905 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-04 9,1915 9,1865 13,72 13,72 126,10738 126,03878 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-06 9,1715 9,1665 13,84 13,84 126,93356 126,86436 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-09 9,1815 9,1765 13,93 13,93 127,898295 127,828645 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-10 9,1985 9,1935 13,96 13,96 128,41106 128,34126 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-11 9,2105 9,2055 13,78 13,78 126,92069 126,85179 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-12 9,2315 9,2265 13,94 13,94 128,68711 128,61741 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-13 9,2045 9,1995 13,96 13,96 128,49482 128,42502 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-17 9,2325 9,2275 13,95 13,95 128,793375 128,723625 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-18 9,2095 9,2045 14,07 14,07 129,577665 129,507315 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-19 9,1905 9,1855 14,16 14,16 130,13748 130,06668 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-20 9,1955 9,1905 14,22 14,22 130,76001 130,68891 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-23 9,1805 9,1755 14,3 14,3 131,28115 131,20965 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-24 9,1815 9,1765 14,28 14,28 131,11182 131,04042 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-25 9,1785 9,1735 14,32 14,32 131,43612 131,36452 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-26 9,1945 9,1895 14,27 14,27 131,205515 131,134165 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-27 9,1955 9,1905 14,34 14,34 131,86347 131,79177 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-30 9,1905 9,1855 14,4 14,4 132,3432 132,2712 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-05-31 9,1665 9,1615 14,6 14,6 133,8309 133,7579 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-01 9,1455 9,1405 14,6 14,6 133,5243 133,4513 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-02 9,1565 9,1515 14,69 14,69 134,508985 134,435535 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-03 9,1315 9,1265 14,68 14,68 134,05042 133,97702 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-07 9,1455 9,1405 14,6 14,6 133,5243 133,4513 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-08 9,1455 9,1405 14,58 14,58 133,34139 133,26849 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-09 9,1965 9,1915 14,66 14,66 134,82069 134,74739 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-10 9,1975 9,1925 14,69 14,69 135,111275 135,037825 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-13 9,2365 9,2315 14,93 14,93 137,900945 137,826295 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-14 9,2985 9,2935 14,88 14,88 138,36168 138,28728 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-15 9,2695 9,2645 15,04 15,04 139,41328 139,33808 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-16 9,2695 9,2645 14,93 14,93 138,393635 138,318985 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-17 9,2695 9,2645 14,89 14,89 138,022855 137,948405 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-20 9,2255 9,2205 14,88 14,88 137,27544 137,20104 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-21 9,2725 9,2675 15,06 15,06 139,64385 139,56855 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-22 9,2615 9,2565 15,02 15,02 139,10773 139,03263 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-27 9,3855 9,3805 14,71 14,71 138,060705 137,987155 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-28 9,3995 9,3945 14,76 14,76 138,73662 138,66282 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-29 9,4215 9,4165 14,92 14,92 140,56878 140,49418 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-06-30 9,4415 9,4365 14,93 14,93 140,961595 140,886945 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-01 9,4595 9,4545 14,77 14,77 139,716815 139,642965 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-04 9,4795 9,4745 15,01 15,01 142,287295 142,212245 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-05 9,4575 9,4525 15,02 15,02 142,05165 141,97655 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-06 9,4195 9,4145 15,09 15,09 142,140255 142,064805 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-07 9,3965 9,3915 14,59 14,59 137,094935 137,021985 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-08 9,4175 9,4125 14,97 14,97 140,979975 140,905125 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-11 9,4665 9,4615 15 15 141,9975 141,9225 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-12 9,4645 9,4595 14,88 14,88 140,83176 140,75736 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-13 9,3915 9,3865 14,89 14,89 139,839435 139,764985 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-14 9,3675 9,3625 15,04 15,04 140,8872 140,812 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-15 9,4055 9,4005 15,08 15,08 141,83494 141,75954 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-18 9,3895 9,3845 15,11 15,11 141,875345 141,799795 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-19 9,4425 9,4375 15,11 15,11 142,676175 142,600625 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-20 9,4265 9,4215 15,05 15,05 141,868825 141,793575 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-21 9,4625 9,4575 15,04 15,04 142,316 142,2408 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-22 9,4495 9,4445 14,91 14,91 140,892045 140,817495 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-25 9,4275 9,4225 15,09 15,09 142,260975 142,185525 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-26 9,4155 9,4105 15,11 15,11 142,268205 142,192655 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-27 9,4725 9,4675 15,13 15,13 143,318925 143,243275 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-28 9,4515 9,4465 15,1 15,1 142,71765 142,64215 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-07-29 9,3885 9,3835 15,17 15,17 142,423545 142,347695 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-01 9,3985 9,3935 14,9 14,9 140,03765 139,96315 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-02 9,3995 9,3945 14,91 14,91 140,146545 140,071995 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-03 9,3755 9,3705 14,91 14,91 139,788705 139,714155 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-04 9,3735 9,3685 14,9 14,9 139,66515 139,59065 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-05 9,3355 9,3305 14,8 14,8 138,1654 138,0914 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-08 9,3335 9,3285 14,67 14,67 136,922445 136,849095 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-09 9,3455 9,3405 14,64 14,64 136,81812 136,74492 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-10 9,3535 9,3485 14,72 14,72 137,68352 137,60992 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-11 9,3365 9,3315 14,66 14,66 136,87309 136,79979 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-12 9,3025 9,2975 14,67 14,67 136,467675 136,394325 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-16 9,2995 9,2945 14,8 14,8 137,6326 137,5586 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-17 9,3405 9,3355 14,7 14,7 137,30535 137,23185 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-18 9,3365 9,3315 14,82 14,82 138,36693 138,29283 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-19 9,3395 9,3345 14,87 14,87 138,878365 138,804015 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-22 9,3655 9,3605 14,8 14,8 138,6094 138,5354 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-23 9,3715 9,3665 14,81 14,81 138,791915 138,717865 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-24 9,3365 9,3315 14,75 14,75 137,713375 137,639625 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-25 9,3335 9,3285 14,52 14,52 135,52242 135,44982 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-26 9,3415 9,3365 14,54 14,54 135,82541 135,75271 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-29 9,3295 9,3245 14,46 14,46 134,90457 134,83227 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-30 9,3285 9,3235 14,67 14,67 136,849095 136,775745 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-08-31 9,3585 9,3535 14,63 14,63 136,914855 136,841705 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-01 9,3365 9,3315 14,52 14,52 135,56598 135,49338 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-02 9,3025 9,2975 14,32 14,32 133,2118 133,1402 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-05 9,2845 9,2795 14,29 14,29 132,675505 132,604055 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-06 9,3225 9,3175 14,37 14,37 133,964325 133,892475 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-07 9,3075 9,3025 14,55 14,55 135,424125 135,351375 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-08 9,3255 9,3205 14,64 14,64 136,52532 136,45212 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-09 9,3445 9,3395 14,58 14,58 136,24281 136,16991 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-12 9,3015 9,2965 14,78 14,78 137,47617 137,40227 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-13 9,3015 9,2965 14,81 14,81 137,755215 137,681165 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-14 9,3365 9,3315 14,69 14,69 137,153185 137,079735 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-15 9,3425 9,3375 14,74 14,74 137,70845 137,63475 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-16 9,3465 9,3415 14,73 14,73 137,673945 137,600295 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-19 9,3355 9,3305 15 15 140,0325 139,9575 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-20 9,3395 9,3345 14,85 14,85 138,691575 138,617325 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-21 9,3405 9,3355 14,69 14,69 137,211945 137,138495 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-22 9,3405 9,3355 14,5 14,5 135,43725 135,36475 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-23 9,3695 9,3645 14,66 14,66 137,35687 137,28357 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-26 9,3815 9,3765 14,74 14,74 138,28331 138,20961 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-27 9,3885 9,3835 14,76 14,76 138,57426 138,50046 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-28 9,3935 9,3885 14,75 14,75 138,554125 138,480375 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-29 9,3845 9,3795 14,7 14,7 137,95215 137,87865 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-09-30 9,3435 9,3385 14,83 14,83 138,564105 138,489955 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-03 9,3025 9,2975 15 15 139,5375 139,4625 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-04 9,3185 9,3135 14,95 14,95 139,311575 139,236825 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-05 9,3105 9,3055 14,82 14,82 137,98161 137,90751 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-06 9,3015 9,2965 14,54 14,54 135,24381 135,17111 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-07 9,3385 9,3335 14,41 14,41 134,567785 134,495735 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-10 9,3465 9,3415 14,45 14,45 135,056925 134,984675 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-11 9,3395 9,3345 14,48 14,48 135,23596 135,16356 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-12 9,3375 9,3325 14,44 14,44 134,8335 134,7613 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-13 9,3815 9,3765 14,39 14,39 134,999785 134,927835 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-14 9,4135 9,4085 14,36 14,36 135,17786 135,10606 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-17 9,4575 9,4525 14,43 14,43 136,471725 136,399575 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-18 9,4625 9,4575 14,54 14,54 137,58475 137,51205 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-19 9,4605 9,4555 14,42 14,42 136,42041 136,34831 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-20 9,4935 9,4885 14,58 14,58 138,41523 138,34233 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-21 9,4915 9,4865 14,32 14,32 135,91828 135,84668 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-24 9,5455 9,5405 14,53 14,53 138,696115 138,623465 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-25 9,5465 9,5415 14,5 14,5 138,42425 138,35175 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-26 9,4975 9,4925 14,5 14,5 137,71375 137,64125 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-27 9,5355 9,5305 14,44 14,44 137,69262 137,62042 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-28 9,5135 9,5085 14,45 14,45 137,470075 137,397825 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-10-31 9,5495 9,5445 14,77 14,77 141,046115 140,972265 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-02 9,5855 9,5805 14,71 14,71 141,002705 140,929155 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-03 9,6515 9,6465 14,89 14,89 143,710835 143,636385 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-04 9,5875 9,5825 14,98 14,98 143,62075 143,54585 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-07 9,6075 9,6025 15,18 15,18 145,84185 145,76595 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-08 9,5685 9,5635 15,19 15,19 145,345515 145,269565 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-09 9,5575 9,5525 15,22 15,22 145,46515 145,38905 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-10 9,6105 9,6055 15,3 15,3 147,04065 146,96415 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-11 9,6365 9,6315 15,47 15,47 149,076655 148,999305 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-14 9,5505 9,5455 15,7 15,7 149,94285 149,86435 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-15 9,5805 9,5755 15,66 15,66 150,03063 149,95233 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-16 9,6235 9,6185 15,64 15,64 150,51154 150,43334 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-17 9,6355 9,6305 15,55 15,55 149,832025 149,754275 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-18 9,6085 9,6035 15,66 15,66 150,46911 150,39081 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-21 9,5915 9,5865 15,52 15,52 148,86008 148,78248 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-22 9,5585 9,5535 15,7 15,7 150,06845 149,98995 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-23 9,5155 9,5105 15,71 15,71 149,488505 149,409955 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-24 9,5125 9,5075 15,78 15,78 150,10725 150,02835 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-25 9,4965 9,4915 15,83 15,83 150,329595 150,250445 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-28 9,4835 9,4785 15,84 15,84 150,21864 150,13944 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-29 9,4785 9,4735 15,84 15,84 150,13944 150,06024 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-11-30 9,5295 9,5245 15,78 15,78 150,37551 150,29661 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-01 9,5165 9,5115 15,84 15,84 150,74136 150,66216 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-02 9,4905 9,4855 15,91 15,91 150,993855 150,914305 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-05 9,4065 9,4015 15,77 15,77 148,340505 148,261655 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-06 9,4185 9,4135 15,82 15,82 149,00067 148,92157 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-07 9,4255 9,4205 15,81 15,81 149,017155 148,938105 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-08 9,3965 9,3915 15,68 15,68 147,33712 147,25872 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-12 9,4315 9,4265 15,53 15,53 146,471195 146,393545 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-13 9,4295 9,4245 15,55 15,55 146,628725 146,550975 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-14 9,4365 9,4315 15,6 15,6 147,2094 147,1314 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-15 9,4345 9,4295 15,63 15,63 147,461235 147,383085 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-16 9,4765 9,4715 15,63 15,63 148,117695 148,039545 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-19 9,4535 9,4485 15,65 15,65 147,947275 147,869025 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-20 9,4015 9,3965 15,66 15,66 147,22749 147,14919 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-21 9,4485 9,4435 15,82 15,82 149,47527 149,39617 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-22 9,4365 9,4315 15,75 15,75 148,624875 148,546125 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-23 9,4425 9,4375 15,86 15,86 149,75805 149,67875 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-27 9,4915 9,4865 15,92 15,92 151,10468 151,02508 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-28 9,4345 9,4295 15,71 15,71 148,215995 148,137445 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-29 9,4115 9,4065 15,81 15,81 148,795815 148,716765 138255 Morgan Stanley Investment Management Limited Morgan Stanley SICAV US Value Equity Fund EUR 2005-12-30 9,4325 9,4275 15,74 15,74 148,46755 148,38885 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-03 1 1 260,9598 260,9598 260,9598 260,9598 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-04 1 1 262,2198 262,2198 262,2198 262,2198 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-05 1 1 260,0672 260,0672 260,0672 260,0672 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-07 1 1 260,9557 260,9557 260,9557 260,9557 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-10 1 1 263,7353 263,7353 263,7353 263,7353 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-11 1 1 261,586 261,586 261,586 261,586 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-12 1 1 258,1182 258,1182 258,1182 258,1182 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-13 1 1 258,1639 258,1639 258,1639 258,1639 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-14 1 1 259,336 259,336 259,336 259,336 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-17 1 1 261,2438 261,2438 261,2438 261,2438 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-18 1 1 259,7727 259,7727 259,7727 259,7727 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-19 1 1 261,2753 261,2753 261,2753 261,2753 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-20 1 1 258,8644 258,8644 258,8644 258,8644 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-21 1 1 258,4933 258,4933 258,4933 258,4933 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-24 1 1 255,7995 255,7995 255,7995 255,7995 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-25 1 1 258,5198 258,5198 258,5198 258,5198 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-26 1 1 259,0293 259,0293 259,0293 259,0293 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-27 1 1 259,6652 259,6652 259,6652 259,6652 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-28 1 1 258,9634 258,9634 258,9634 258,9634 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-01-31 1 1 260,6112 260,6112 260,6112 260,6112 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-01 1 1 261,5882 261,5882 261,5882 261,5882 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-02 1 1 263,127 263,127 263,127 263,127 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-03 1 1 263,113 263,113 263,113 263,113 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-04 1 1 264,9975 264,9975 264,9975 264,9975 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-07 1 1 268,6079 268,6079 268,6079 268,6079 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-08 1 1 269,2877 269,2877 269,2877 269,2877 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-09 1 1 270,1694 270,1694 270,1694 270,1694 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-10 1 1 267,5563 267,5563 267,5563 267,5563 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-11 1 1 269,0753 269,0753 269,0753 269,0753 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-14 1 1 270,1164 270,1164 270,1164 270,1164 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-15 1 1 271,0511 271,0511 271,0511 271,0511 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-16 1 1 268,6236 268,6236 268,6236 268,6236 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-17 1 1 269,5699 269,5699 269,5699 269,5699 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-18 1 1 268,4783 268,4783 268,4783 268,4783 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-21 1 1 269,4672 269,4672 269,4672 269,4672 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-22 1 1 266,8223 266,8223 266,8223 266,8223 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-23 1 1 266,4801 266,4801 266,4801 266,4801 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-24 1 1 267,166 267,166 267,166 267,166 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-25 1 1 269,1191 269,1191 269,1191 269,1191 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-02-28 1 1 269,9795 269,9795 269,9795 269,9795 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-01 1 1 270,6068 270,6068 270,6068 270,6068 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-02 1 1 271,3036 271,3036 271,3036 271,3036 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-03 1 1 272,7829 272,7829 272,7829 272,7829 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-04 1 1 273,618 273,618 273,618 273,618 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-07 1 1 273,6648 273,6648 273,6648 273,6648 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-08 1 1 271,9628 271,9628 271,9628 271,9628 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-09 1 1 271,279 271,279 271,279 271,279 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-10 1 1 269,7908 269,7908 269,7908 269,7908 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-11 1 1 270,8325 270,8325 270,8325 270,8325 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-14 1 1 270,0497 270,0497 270,0497 270,0497 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-15 1 1 271,9442 271,9442 271,9442 271,9442 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-16 1 1 269,3122 269,3122 269,3122 269,3122 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-17 1 1 268,3245 268,3245 268,3245 268,3245 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-18 1 1 268,8845 268,8845 268,8845 268,8845 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-21 1 1 268,1701 268,1701 268,1701 268,1701 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-22 1 1 269,0341 269,0341 269,0341 269,0341 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-23 1 1 267,9245 267,9245 267,9245 267,9245 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-24 1 1 269,7099 269,7099 269,7099 269,7099 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-29 1 1 269,8208 269,8208 269,8208 269,8208 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-30 1 1 267,9849 267,9849 267,9849 267,9849 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-03-31 1 1 270,08 270,08 270,08 270,08 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-01 1 1 271,5741 271,5741 271,5741 271,5741 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-04 1 1 270,4501 270,4501 270,4501 270,4501 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-05 1 1 273,3459 273,3459 273,3459 273,3459 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-06 1 1 274,1992 274,1992 274,1992 274,1992 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-07 1 1 274,6273 274,6273 274,6273 274,6273 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-08 1 1 276,4556 276,4556 276,4556 276,4556 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-11 1 1 275,8933 275,8933 275,8933 275,8933 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-12 1 1 275,3996 275,3996 275,3996 275,3996 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-13 1 1 277,2376 277,2376 277,2376 277,2376 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-14 1 1 278,8147 278,8147 278,8147 278,8147 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-15 1 1 274,2585 274,2585 274,2585 274,2585 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-18 1 1 269,2756 269,2756 269,2756 269,2756 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-19 1 1 270,9214 270,9214 270,9214 270,9214 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-20 1 1 270,57 270,57 270,57 270,57 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-21 1 1 269,9885 269,9885 269,9885 269,9885 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-22 1 1 272,3845 272,3845 272,3845 272,3845 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-25 1 1 272,3772 272,3772 272,3772 272,3772 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-26 1 1 270,3789 270,3789 270,3789 270,3789 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-27 1 1 265,395 265,395 265,395 265,395 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-28 1 1 263,7065 263,7065 263,7065 263,7065 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-04-29 1 1 266,002 266,002 266,002 266,002 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-02 1 1 267,759 267,759 267,759 267,759 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-03 1 1 267,7295 267,7295 267,7295 267,7295 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-04 1 1 267,3042 267,3042 267,3042 267,3042 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-06 1 1 271,0741 271,0741 271,0741 271,0741 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-09 1 1 270,9752 270,9752 270,9752 270,9752 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-10 1 1 269,9252 269,9252 269,9252 269,9252 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-11 1 1 270,2783 270,2783 270,2783 270,2783 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-12 1 1 272,2579 272,2579 272,2579 272,2579 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-13 1 1 272,028 272,028 272,028 272,028 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-16 1 1 272,7607 272,7607 272,7607 272,7607 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-17 1 1 273,8342 273,8342 273,8342 273,8342 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-18 1 1 276,5271 276,5271 276,5271 276,5271 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-19 1 1 277,2821 277,2821 277,2821 277,2821 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-20 1 1 277,4363 277,4363 277,4363 277,4363 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-23 1 1 277,3725 277,3725 277,3725 277,3725 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-24 1 1 277,8592 277,8592 277,8592 277,8592 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-25 1 1 278,2675 278,2675 278,2675 278,2675 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-26 1 1 279,5965 279,5965 279,5965 279,5965 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-27 1 1 280,3358 280,3358 280,3358 280,3358 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-30 1 1 280,9153 280,9153 280,9153 280,9153 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-05-31 1 1 281,4872 281,4872 281,4872 281,4872 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-01 1 1 281,5155 281,5155 281,5155 281,5155 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-02 1 1 276,2783 276,2783 276,2783 276,2783 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-03 1 1 275,0331 275,0331 275,0331 275,0331 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-07 1 1 276,2376 276,2376 276,2376 276,2376 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-08 1 1 277,9714 277,9714 277,9714 277,9714 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-09 1 1 277,7204 277,7204 277,7204 277,7204 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-10 1 1 279,8783 279,8783 279,8783 279,8783 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-13 1 1 280,52 280,52 280,52 280,52 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-14 1 1 282,3743 282,3743 282,3743 282,3743 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-15 1 1 282,3953 282,3953 282,3953 282,3953 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-16 1 1 282,6626 282,6626 282,6626 282,6626 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-17 1 1 284,137 284,137 284,137 284,137 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-20 1 1 283,2899 283,2899 283,2899 283,2899 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-21 1 1 285,2059 285,2059 285,2059 285,2059 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-22 1 1 286,912 286,912 286,912 286,912 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-23 1 1 289,6281 289,6281 289,6281 289,6281 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-27 1 1 284,6235 284,6235 284,6235 284,6235 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-28 1 1 285,9784 285,9784 285,9784 285,9784 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-29 1 1 289,1894 289,1894 289,1894 289,1894 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-06-30 1 1 289,1151 289,1151 289,1151 289,1151 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-01 1 1 289,8652 289,8652 289,8652 289,8652 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-04 1 1 292,1931 292,1931 292,1931 292,1931 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-05 1 1 290,9524 290,9524 290,9524 290,9524 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-06 1 1 292,2374 292,2374 292,2374 292,2374 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-07 1 1 287,3309 287,3309 287,3309 287,3309 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-08 1 1 291,3444 291,3444 291,3444 291,3444 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-11 1 1 295,694 295,694 295,694 295,694 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-12 1 1 295,3651 295,3651 295,3651 295,3651 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-13 1 1 297,1649 297,1649 297,1649 297,1649 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-14 1 1 297,781 297,781 297,781 297,781 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-15 1 1 297,347 297,347 297,347 297,347 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-18 1 1 297,3422 297,3422 297,3422 297,3422 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-19 1 1 298,1645 298,1645 298,1645 298,1645 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-20 1 1 297,0591 297,0591 297,0591 297,0591 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-21 1 1 298,8965 298,8965 298,8965 298,8965 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-22 1 1 299,058 299,058 299,058 299,058 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-25 1 1 298,2198 298,2198 298,2198 298,2198 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-26 1 1 299,9911 299,9911 299,9911 299,9911 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-27 1 1 300,1937 300,1937 300,1937 300,1937 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-28 1 1 301,3145 301,3145 301,3145 301,3145 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-07-29 1 1 301,1066 301,1066 301,1066 301,1066 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-01 1 1 300,8037 300,8037 300,8037 300,8037 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-02 1 1 302,0327 302,0327 302,0327 302,0327 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-03 1 1 301,3289 301,3289 301,3289 301,3289 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-04 1 1 299,449 299,449 299,449 299,449 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-05 1 1 298,5209 298,5209 298,5209 298,5209 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-08 1 1 298,6137 298,6137 298,6137 298,6137 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-09 1 1 299,2485 299,2485 299,2485 299,2485 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-10 1 1 303,037 303,037 303,037 303,037 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-11 1 1 301,1893 301,1893 301,1893 301,1893 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-12 1 1 300,5778 300,5778 300,5778 300,5778 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-15 1 1 300,1363 300,1363 300,1363 300,1363 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-16 1 1 300,5998 300,5998 300,5998 300,5998 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-17 1 1 299,1319 299,1319 299,1319 299,1319 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-18 1 1 299,4923 299,4923 299,4923 299,4923 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-19 1 1 301,8521 301,8521 301,8521 301,8521 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-22 1 1 302,0601 302,0601 302,0601 302,0601 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-23 1 1 300,576 300,576 300,576 300,576 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-24 1 1 296,5683 296,5683 296,5683 296,5683 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-25 1 1 294,112 294,112 294,112 294,112 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-26 1 1 291,9488 291,9488 291,9488 291,9488 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-29 1 1 292,4672 292,4672 292,4672 292,4672 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-30 1 1 294,6525 294,6525 294,6525 294,6525 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-08-31 1 1 295,8013 295,8013 295,8013 295,8013 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-01 1 1 297,3948 297,3948 297,3948 297,3948 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-02 1 1 295,9735 295,9735 295,9735 295,9735 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-05 1 1 297,6273 297,6273 297,6273 297,6273 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-06 1 1 299,6854 299,6854 299,6854 299,6854 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-07 1 1 301,1086 301,1086 301,1086 301,1086 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-08 1 1 300,286 300,286 300,286 300,286 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-09 1 1 302,3975 302,3975 302,3975 302,3975 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-12 1 1 303,321 303,321 303,321 303,321 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-13 1 1 302,8634 302,8634 302,8634 302,8634 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-14 1 1 304,1506 304,1506 304,1506 304,1506 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-15 1 1 303,3363 303,3363 303,3363 303,3363 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-16 1 1 303,6939 303,6939 303,6939 303,6939 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-19 1 1 304,8958 304,8958 304,8958 304,8958 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-20 1 1 304,3273 304,3273 304,3273 304,3273 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-21 1 1 302,3391 302,3391 302,3391 302,3391 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-22 1 1 302,0143 302,0143 302,0143 302,0143 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-23 1 1 303,128 303,128 303,128 303,128 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-26 1 1 306,1595 306,1595 306,1595 306,1595 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-27 1 1 307,0244 307,0244 307,0244 307,0244 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-28 1 1 309,1965 309,1965 309,1965 309,1965 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-29 1 1 309,2899 309,2899 309,2899 309,2899 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-09-30 1 1 311,1767 311,1767 311,1767 311,1767 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-03 1 1 312,7618 312,7618 312,7618 312,7618 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-04 1 1 312,9529 312,9529 312,9529 312,9529 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-05 1 1 310,5981 310,5981 310,5981 310,5981 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-06 1 1 306,3761 306,3761 306,3761 306,3761 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-07 1 1 306,4928 306,4928 306,4928 306,4928 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-10 1 1 307,7926 307,7926 307,7926 307,7926 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-11 1 1 308,3993 308,3993 308,3993 308,3993 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-12 1 1 306,8345 306,8345 306,8345 306,8345 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-13 1 1 303,1036 303,1036 303,1036 303,1036 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-14 1 1 303,454 303,454 303,454 303,454 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-17 1 1 303,8089 303,8089 303,8089 303,8089 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-18 1 1 302,0265 302,0265 302,0265 302,0265 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-19 1 1 297,7553 297,7553 297,7553 297,7553 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-20 1 1 299,9488 299,9488 299,9488 299,9488 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-21 1 1 296,726 296,726 296,726 296,726 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-24 1 1 300,4607 300,4607 300,4607 300,4607 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-25 1 1 302,0722 302,0722 302,0722 302,0722 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-26 1 1 302,6534 302,6534 302,6534 302,6534 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-27 1 1 300,2451 300,2451 300,2451 300,2451 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-28 1 1 298,9516 298,9516 298,9516 298,9516 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-10-31 1 1 305,8304 305,8304 305,8304 305,8304 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-01 1 1 307,0251 307,0251 307,0251 307,0251 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-02 1 1 307,4618 307,4618 307,4618 307,4618 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-03 1 1 311,8145 311,8145 311,8145 311,8145 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-04 1 1 311,7001 311,7001 311,7001 311,7001 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-07 1 1 313,5297 313,5297 313,5297 313,5297 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-08 1 1 312,7777 312,7777 312,7777 312,7777 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-09 1 1 313,1217 313,1217 313,1217 313,1217 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-10 1 1 314,2992 314,2992 314,2992 314,2992 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-11 1 1 316,3712 316,3712 316,3712 316,3712 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-14 1 1 317,1922 317,1922 317,1922 317,1922 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-15 1 1 316,4449 316,4449 316,4449 316,4449 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-16 1 1 316,5158 316,5158 316,5158 316,5158 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-17 1 1 317,6048 317,6048 317,6048 317,6048 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-18 1 1 318,6637 318,6637 318,6637 318,6637 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-21 1 1 318,2608 318,2608 318,2608 318,2608 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-22 1 1 318,6108 318,6108 318,6108 318,6108 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-23 1 1 318,8177 318,8177 318,8177 318,8177 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-24 1 1 318,5536 318,5536 318,5536 318,5536 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-25 1 1 319,3945 319,3945 319,3945 319,3945 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-28 1 1 320,2205 320,2205 320,2205 320,2205 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-29 1 1 319,8879 319,8879 319,8879 319,8879 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-11-30 1 1 317,6755 317,6755 317,6755 317,6755 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-01 1 1 321,037 321,037 321,037 321,037 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-02 1 1 323,667 323,667 323,667 323,667 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-05 1 1 323,4195 323,4195 323,4195 323,4195 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-06 1 1 324,6303 324,6303 324,6303 324,6303 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-07 1 1 325,7883 325,7883 325,7883 325,7883 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-08 1 1 325,9453 325,9453 325,9453 325,9453 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-12 1 1 326,2666 326,2666 326,2666 326,2666 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-13 1 1 326,1838 326,1838 326,1838 326,1838 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-14 1 1 325,4401 325,4401 325,4401 325,4401 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-15 1 1 325,5577 325,5577 325,5577 325,5577 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-16 1 1 326,6865 326,6865 326,6865 326,6865 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-19 1 1 327,6394 327,6394 327,6394 327,6394 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-20 1 1 327,3673 327,3673 327,3673 327,3673 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-21 1 1 330,3058 330,3058 330,3058 330,3058 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-22 1 1 331,3899 331,3899 331,3899 331,3899 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-23 1 1 333,5049 333,5049 333,5049 333,5049 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-27 1 1 335,3936 335,3936 335,3936 335,3936 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-28 1 1 333,851 333,851 333,851 333,851 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-29 1 1 335,1192 335,1192 335,1192 335,1192 363564 Nordea Fonder AB Nordea Allemansfond Beta SEK 2005-12-30 1 1 333,4972 333,4972 333,4972 333,4972 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-03 1 1 343,7379 343,7379 343,7379 343,7379 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-04 1 1 345,5771 345,5771 345,5771 345,5771 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-05 1 1 343,2777 343,2777 343,2777 343,2777 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-07 1 1 345,2033 345,2033 345,2033 345,2033 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-10 1 1 346,3623 346,3623 346,3623 346,3623 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-11 1 1 343,2705 343,2705 343,2705 343,2705 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-12 1 1 341,8253 341,8253 341,8253 341,8253 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-13 1 1 342,1361 342,1361 342,1361 342,1361 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-14 1 1 344,4513 344,4513 344,4513 344,4513 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-17 1 1 346,4525 346,4525 346,4525 346,4525 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-18 1 1 344,5711 344,5711 344,5711 344,5711 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-19 1 1 346,1192 346,1192 346,1192 346,1192 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-20 1 1 344,0141 344,0141 344,0141 344,0141 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-21 1 1 344,4679 344,4679 344,4679 344,4679 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-24 1 1 343,872 343,872 343,872 343,872 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-25 1 1 346,73 346,73 346,73 346,73 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-26 1 1 348,4722 348,4722 348,4722 348,4722 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-27 1 1 348,4698 348,4698 348,4698 348,4698 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-28 1 1 348,8897 348,8897 348,8897 348,8897 108506 Nordea Fonder AB Nordea Europafond SEK 2005-01-31 1 1 350,4138 350,4138 350,4138 350,4138 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-01 1 1 351,4774 351,4774 351,4774 351,4774 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-02 1 1 353,0129 353,0129 353,0129 353,0129 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-03 1 1 353,0054 353,0054 353,0054 353,0054 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-04 1 1 356,3372 356,3372 356,3372 356,3372 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-07 1 1 358,2937 358,2937 358,2937 358,2937 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-08 1 1 359,2822 359,2822 359,2822 359,2822 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-09 1 1 359,3262 359,3262 359,3262 359,3262 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-10 1 1 359,6598 359,6598 359,6598 359,6598 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-11 1 1 360,0324 360,0324 360,0324 360,0324 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-14 1 1 362,1058 362,1058 362,1058 362,1058 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-15 1 1 362,1103 362,1103 362,1103 362,1103 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-16 1 1 360,9502 360,9502 360,9502 360,9502 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-17 1 1 362,2538 362,2538 362,2538 362,2538 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-18 1 1 361,8549 361,8549 361,8549 361,8549 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-21 1 1 363,3121 363,3121 363,3121 363,3121 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-22 1 1 359,4717 359,4717 359,4717 359,4717 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-23 1 1 357,8442 357,8442 357,8442 357,8442 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-24 1 1 358,0576 358,0576 358,0576 358,0576 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-25 1 1 361,6296 361,6296 361,6296 361,6296 108506 Nordea Fonder AB Nordea Europafond SEK 2005-02-28 1 1 362,3057 362,3057 362,3057 362,3057 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-01 1 1 363,7963 363,7963 363,7963 363,7963 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-02 1 1 364,3341 364,3341 364,3341 364,3341 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-03 1 1 365,372 365,372 365,372 365,372 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-04 1 1 366,9434 366,9434 366,9434 366,9434 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-07 1 1 366,3556 366,3556 366,3556 366,3556 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-08 1 1 366,4277 366,4277 366,4277 366,4277 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-09 1 1 365,623 365,623 365,623 365,623 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-10 1 1 364,809 364,809 364,809 364,809 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-11 1 1 365,5649 365,5649 365,5649 365,5649 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-14 1 1 364,6562 364,6562 364,6562 364,6562 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-15 1 1 367,4135 367,4135 367,4135 367,4135 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-16 1 1 362,5093 362,5093 362,5093 362,5093 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-17 1 1 361,6517 361,6517 361,6517 361,6517 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-18 1 1 363,5357 363,5357 363,5357 363,5357 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-21 1 1 363,3919 363,3919 363,3919 363,3919 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-22 1 1 362,3656 362,3656 362,3656 362,3656 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-23 1 1 359,7447 359,7447 359,7447 359,7447 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-24 1 1 362,0926 362,0926 362,0926 362,0926 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-29 1 1 363,0069 363,0069 363,0069 363,0069 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-30 1 1 361,9067 361,9067 361,9067 361,9067 108506 Nordea Fonder AB Nordea Europafond SEK 2005-03-31 1 1 364,4 364,4 364,4 364,4 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-01 1 1 367,042 367,042 367,042 367,042 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-04 1 1 363,6023 363,6023 363,6023 363,6023 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-05 1 1 366,8214 366,8214 366,8214 366,8214 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-06 1 1 366,7655 366,7655 366,7655 366,7655 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-07 1 1 367,4778 367,4778 367,4778 367,4778 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-08 1 1 369,5146 369,5146 369,5146 369,5146 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-11 1 1 368,2838 368,2838 368,2838 368,2838 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-12 1 1 366,9933 366,9933 366,9933 366,9933 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-13 1 1 367,8248 367,8248 367,8248 367,8248 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-14 1 1 368,8384 368,8384 368,8384 368,8384 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-15 1 1 363,6452 363,6452 363,6452 363,6452 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-18 1 1 356,0572 356,0572 356,0572 356,0572 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-19 1 1 359,0568 359,0568 359,0568 359,0568 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-20 1 1 357,9238 357,9238 357,9238 357,9238 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-21 1 1 358,0087 358,0087 358,0087 358,0087 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-22 1 1 359,0803 359,0803 359,0803 359,0803 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-25 1 1 359,4557 359,4557 359,4557 359,4557 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-26 1 1 358,0531 358,0531 358,0531 358,0531 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-27 1 1 354,2282 354,2282 354,2282 354,2282 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-28 1 1 352,8286 352,8286 352,8286 352,8286 108506 Nordea Fonder AB Nordea Europafond SEK 2005-04-29 1 1 356,0213 356,0213 356,0213 356,0213 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-02 1 1 357,9601 357,9601 357,9601 357,9601 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-03 1 1 358,2835 358,2835 358,2835 358,2835 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-04 1 1 357,438 357,438 357,438 357,438 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-06 1 1 362,8913 362,8913 362,8913 362,8913 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-09 1 1 361,6946 361,6946 361,6946 361,6946 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-10 1 1 359,546 359,546 359,546 359,546 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-11 1 1 360,0801 360,0801 360,0801 360,0801 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-12 1 1 361,9219 361,9219 361,9219 361,9219 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-13 1 1 360,6681 360,6681 360,6681 360,6681 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-16 1 1 361,2222 361,2222 361,2222 361,2222 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-17 1 1 361,3967 361,3967 361,3967 361,3967 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-18 1 1 364,6642 364,6642 364,6642 364,6642 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-19 1 1 367,3698 367,3698 367,3698 367,3698 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-20 1 1 366,5168 366,5168 366,5168 366,5168 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-23 1 1 366,5105 366,5105 366,5105 366,5105 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-24 1 1 367,1458 367,1458 367,1458 367,1458 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-25 1 1 368,0937 368,0937 368,0937 368,0937 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-26 1 1 370,7512 370,7512 370,7512 370,7512 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-27 1 1 370,9937 370,9937 370,9937 370,9937 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-30 1 1 370,5146 370,5146 370,5146 370,5146 108506 Nordea Fonder AB Nordea Europafond SEK 2005-05-31 1 1 372,0965 372,0965 372,0965 372,0965 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-01 1 1 371,928 371,928 371,928 371,928 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-02 1 1 374,7351 374,7351 374,7351 374,7351 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-03 1 1 374,8076 374,8076 374,8076 374,8076 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-07 1 1 376,8567 376,8567 376,8567 376,8567 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-08 1 1 380,4575 380,4575 380,4575 380,4575 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-09 1 1 379,9602 379,9602 379,9602 379,9602 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-10 1 1 385,3791 385,3791 385,3791 385,3791 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-13 1 1 387,4489 387,4489 387,4489 387,4489 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-14 1 1 387,7123 387,7123 387,7123 387,7123 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-15 1 1 388,8491 388,8491 388,8491 388,8491 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-16 1 1 388,1068 388,1068 388,1068 388,1068 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-17 1 1 388,9314 388,9314 388,9314 388,9314 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-20 1 1 386,8501 386,8501 386,8501 386,8501 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-21 1 1 389,8699 389,8699 389,8699 389,8699 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-22 1 1 394,0994 394,0994 394,0994 394,0994 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-23 1 1 397,7122 397,7122 397,7122 397,7122 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-27 1 1 391,9202 391,9202 391,9202 391,9202 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-28 1 1 394,2583 394,2583 394,2583 394,2583 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-29 1 1 398,1182 398,1182 398,1182 398,1182 108506 Nordea Fonder AB Nordea Europafond SEK 2005-06-30 1 1 398,9728 398,9728 398,9728 398,9728 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-01 1 1 399,0036 399,0036 399,0036 399,0036 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-04 1 1 402,1253 402,1253 402,1253 402,1253 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-05 1 1 400,1579 400,1579 400,1579 400,1579 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-06 1 1 401,9837 401,9837 401,9837 401,9837 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-07 1 1 395,3422 395,3422 395,3422 395,3422 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-08 1 1 400,1604 400,1604 400,1604 400,1604 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-11 1 1 405,3351 405,3351 405,3351 405,3351 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-12 1 1 403,7886 403,7886 403,7886 403,7886 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-13 1 1 403,3617 403,3617 403,3617 403,3617 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-14 1 1 406,6818 406,6818 406,6818 406,6818 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-15 1 1 405,4447 405,4447 405,4447 405,4447 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-18 1 1 403,1646 403,1646 403,1646 403,1646 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-19 1 1 405,5947 405,5947 405,5947 405,5947 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-20 1 1 405,3123 405,3123 405,3123 405,3123 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-21 1 1 408,1003 408,1003 408,1003 408,1003 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-22 1 1 406,3363 406,3363 406,3363 406,3363 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-25 1 1 406,4262 406,4262 406,4262 406,4262 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-26 1 1 409,0133 409,0133 409,0133 409,0133 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-27 1 1 410,6827 410,6827 410,6827 410,6827 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-28 1 1 410,9225 410,9225 410,9225 410,9225 108506 Nordea Fonder AB Nordea Europafond SEK 2005-07-29 1 1 411,4431 411,4431 411,4431 411,4431 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-01 1 1 410,0003 410,0003 410,0003 410,0003 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-02 1 1 410,5033 410,5033 410,5033 410,5033 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-03 1 1 412,3613 412,3613 412,3613 412,3613 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-04 1 1 408,8854 408,8854 408,8854 408,8854 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-05 1 1 406,8222 406,8222 406,8222 406,8222 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-08 1 1 407,9678 407,9678 407,9678 407,9678 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-09 1 1 409,0493 409,0493 409,0493 409,0493 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-10 1 1 412,2031 412,2031 412,2031 412,2031 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-11 1 1 410,04 410,04 410,04 410,04 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-12 1 1 408,5601 408,5601 408,5601 408,5601 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-15 1 1 408,1173 408,1173 408,1173 408,1173 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-16 1 1 409,8289 409,8289 409,8289 409,8289 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-17 1 1 406,3906 406,3906 406,3906 406,3906 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-18 1 1 406,1531 406,1531 406,1531 406,1531 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-19 1 1 410,0665 410,0665 410,0665 410,0665 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-22 1 1 411,9692 411,9692 411,9692 411,9692 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-23 1 1 409,3019 409,3019 409,3019 409,3019 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-24 1 1 404,5008 404,5008 404,5008 404,5008 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-25 1 1 403,8134 403,8134 403,8134 403,8134 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-26 1 1 402,5595 402,5595 402,5595 402,5595 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-29 1 1 401,0469 401,0469 401,0469 401,0469 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-30 1 1 403,86 403,86 403,86 403,86 108506 Nordea Fonder AB Nordea Europafond SEK 2005-08-31 1 1 405,4853 405,4853 405,4853 405,4853 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-01 1 1 410,8048 410,8048 410,8048 410,8048 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-02 1 1 407,7247 407,7247 407,7247 407,7247 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-05 1 1 409,4224 409,4224 409,4224 409,4224 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-06 1 1 412,8086 412,8086 412,8086 412,8086 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-07 1 1 415,6631 415,6631 415,6631 415,6631 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-08 1 1 414,4748 414,4748 414,4748 414,4748 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-09 1 1 417,229 417,229 417,229 417,229 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-12 1 1 417,1216 417,1216 417,1216 417,1216 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-13 1 1 415,7157 415,7157 415,7157 415,7157 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-14 1 1 416,5536 416,5536 416,5536 416,5536 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-15 1 1 417,6313 417,6313 417,6313 417,6313 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-16 1 1 420,5953 420,5953 420,5953 420,5953 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-19 1 1 421,3387 421,3387 421,3387 421,3387 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-20 1 1 421,4151 421,4151 421,4151 421,4151 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-21 1 1 418,7057 418,7057 418,7057 418,7057 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-22 1 1 415,3818 415,3818 415,3818 415,3818 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-23 1 1 417,9729 417,9729 417,9729 417,9729 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-26 1 1 424,1788 424,1788 424,1788 424,1788 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-27 1 1 425,0174 425,0174 425,0174 425,0174 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-28 1 1 427,7428 427,7428 427,7428 427,7428 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-29 1 1 426,2686 426,2686 426,2686 426,2686 108506 Nordea Fonder AB Nordea Europafond SEK 2005-09-30 1 1 426,147 426,147 426,147 426,147 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-03 1 1 428,2095 428,2095 428,2095 428,2095 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-04 1 1 429,6734 429,6734 429,6734 429,6734 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-05 1 1 426,8297 426,8297 426,8297 426,8297 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-06 1 1 419,7448 419,7448 419,7448 419,7448 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-07 1 1 419,0198 419,0198 419,0198 419,0198 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-10 1 1 420,6827 420,6827 420,6827 420,6827 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-11 1 1 421,4257 421,4257 421,4257 421,4257 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-12 1 1 420,5121 420,5121 420,5121 420,5121 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-13 1 1 413,8836 413,8836 413,8836 413,8836 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-14 1 1 417,2789 417,2789 417,2789 417,2789 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-17 1 1 418,7865 418,7865 418,7865 418,7865 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-18 1 1 416,5795 416,5795 416,5795 416,5795 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-19 1 1 410,391 410,391 410,391 410,391 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-20 1 1 414,0294 414,0294 414,0294 414,0294 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-21 1 1 410,2031 410,2031 410,2031 410,2031 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-24 1 1 415,6761 415,6761 415,6761 415,6761 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-25 1 1 415,7504 415,7504 415,7504 415,7504 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-26 1 1 415,7981 415,7981 415,7981 415,7981 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-27 1 1 413,8203 413,8203 413,8203 413,8203 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-28 1 1 413,3998 413,3998 413,3998 413,3998 108506 Nordea Fonder AB Nordea Europafond SEK 2005-10-31 1 1 422,3105 422,3105 422,3105 422,3105 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-01 1 1 426,0258 426,0258 426,0258 426,0258 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-02 1 1 426,7248 426,7248 426,7248 426,7248 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-03 1 1 433,0252 433,0252 433,0252 433,0252 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-04 1 1 433,3459 433,3459 433,3459 433,3459 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-07 1 1 435,9729 435,9729 435,9729 435,9729 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-08 1 1 433,6119 433,6119 433,6119 433,6119 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-09 1 1 434,1574 434,1574 434,1574 434,1574 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-10 1 1 437,6145 437,6145 437,6145 437,6145 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-11 1 1 437,7623 437,7623 437,7623 437,7623 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-14 1 1 438,7606 438,7606 438,7606 438,7606 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-15 1 1 439,609 439,609 439,609 439,609 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-16 1 1 436,9367 436,9367 436,9367 436,9367 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-17 1 1 440,6571 440,6571 440,6571 440,6571 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-18 1 1 442,2062 442,2062 442,2062 442,2062 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-21 1 1 439,576 439,576 439,576 439,576 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-22 1 1 440,632 440,632 440,632 440,632 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-23 1 1 440,6711 440,6711 440,6711 440,6711 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-24 1 1 439,4239 439,4239 439,4239 439,4239 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-25 1 1 439,6393 439,6393 439,6393 439,6393 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-28 1 1 440,5613 440,5613 440,5613 440,5613 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-29 1 1 439,6151 439,6151 439,6151 439,6151 108506 Nordea Fonder AB Nordea Europafond SEK 2005-11-30 1 1 438,9443 438,9443 438,9443 438,9443 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-01 1 1 443,1027 443,1027 443,1027 443,1027 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-02 1 1 445,0915 445,0915 445,0915 445,0915 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-05 1 1 446,8091 446,8091 446,8091 446,8091 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-06 1 1 444,0034 444,0034 444,0034 444,0034 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-07 1 1 445,3073 445,3073 445,3073 445,3073 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-08 1 1 443,2476 443,2476 443,2476 443,2476 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-12 1 1 445,3632 445,3632 445,3632 445,3632 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-13 1 1 445,6759 445,6759 445,6759 445,6759 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-14 1 1 443,972 443,972 443,972 443,972 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-15 1 1 442,56 442,56 442,56 442,56 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-16 1 1 445,2487 445,2487 445,2487 445,2487 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-19 1 1 444,3969 444,3969 444,3969 444,3969 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-20 1 1 444,0714 444,0714 444,0714 444,0714 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-21 1 1 448,7778 448,7778 448,7778 448,7778 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-22 1 1 450,8761 450,8761 450,8761 450,8761 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-23 1 1 451,2876 451,2876 451,2876 451,2876 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-27 1 1 453,129 453,129 453,129 453,129 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-28 1 1 449,8251 449,8251 449,8251 449,8251 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-29 1 1 451,7596 451,7596 451,7596 451,7596 108506 Nordea Fonder AB Nordea Europafond SEK 2005-12-30 1 1 448,148 448,148 448,148 448,148 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-03 1 1 65,5567 65,5567 65,5567 65,5567 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-04 1 1 65,963 65,963 65,963 65,963 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-05 1 1 65,7055 65,7055 65,7055 65,7055 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-07 1 1 65,5264 65,5264 65,5264 65,5264 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-10 1 1 66,1385 66,1385 66,1385 66,1385 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-11 1 1 66,2169 66,2169 66,2169 66,2169 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-12 1 1 65,7587 65,7587 65,7587 65,7587 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-13 1 1 66,4662 66,4662 66,4662 66,4662 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-14 1 1 67,3773 67,3773 67,3773 67,3773 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-17 1 1 68,7656 68,7656 68,7656 68,7656 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-18 1 1 69,0856 69,0856 69,0856 69,0856 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-19 1 1 68,7458 68,7458 68,7458 68,7458 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-20 1 1 68,9052 68,9052 68,9052 68,9052 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-21 1 1 68,5191 68,5191 68,5191 68,5191 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-24 1 1 68,2581 68,2581 68,2581 68,2581 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-25 1 1 68,6375 68,6375 68,6375 68,6375 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-26 1 1 69,2022 69,2022 69,2022 69,2022 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-27 1 1 69,4444 69,4444 69,4444 69,4444 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-28 1 1 69,7034 69,7034 69,7034 69,7034 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-01-31 1 1 70,6455 70,6455 70,6455 70,6455 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-01 1 1 70,1986 70,1986 70,1986 70,1986 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-02 1 1 70,1165 70,1165 70,1165 70,1165 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-03 1 1 70,9854 70,9854 70,9854 70,9854 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-04 1 1 71,316 71,316 71,316 71,316 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-07 1 1 72,5839 72,5839 72,5839 72,5839 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-08 1 1 73,0751 73,0751 73,0751 73,0751 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-09 1 1 72,4792 72,4792 72,4792 72,4792 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-10 1 1 72,004 72,004 72,004 72,004 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-11 1 1 72,3103 72,3103 72,3103 72,3103 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-14 1 1 72,8021 72,8021 72,8021 72,8021 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-15 1 1 72,9794 72,9794 72,9794 72,9794 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-16 1 1 73,0674 73,0674 73,0674 73,0674 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-17 1 1 72,5107 72,5107 72,5107 72,5107 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-18 1 1 72,9702 72,9702 72,9702 72,9702 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-21 1 1 73,4263 73,4263 73,4263 73,4263 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-22 1 1 72,6432 72,6432 72,6432 72,6432 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-23 1 1 72,2791 72,2791 72,2791 72,2791 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-24 1 1 72,8715 72,8715 72,8715 72,8715 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-25 1 1 73,7779 73,7779 73,7779 73,7779 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-02-28 1 1 74,1811 74,1811 74,1811 74,1811 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-01 1 1 74,4072 74,4072 74,4072 74,4072 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-02 1 1 74,2169 74,2169 74,2169 74,2169 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-03 1 1 73,7744 73,7744 73,7744 73,7744 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-04 1 1 72,7571 72,7571 72,7571 72,7571 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-07 1 1 73,193 73,193 73,193 73,193 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-08 1 1 72,6184 72,6184 72,6184 72,6184 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-09 1 1 72,9278 72,9278 72,9278 72,9278 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-10 1 1 72,4872 72,4872 72,4872 72,4872 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-11 1 1 72,8945 72,8945 72,8945 72,8945 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-14 1 1 72,6668 72,6668 72,6668 72,6668 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-15 1 1 71,7224 71,7224 71,7224 71,7224 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-16 1 1 71,4087 71,4087 71,4087 71,4087 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-17 1 1 71,392 71,392 71,392 71,392 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-18 1 1 71,7063 71,7063 71,7063 71,7063 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-21 1 1 72,2137 72,2137 72,2137 72,2137 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-22 1 1 71,6771 71,6771 71,6771 71,6771 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-23 1 1 71,7208 71,7208 71,7208 71,7208 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-24 1 1 71,4482 71,4482 71,4482 71,4482 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-29 1 1 71,4442 71,4442 71,4442 71,4442 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-30 1 1 70,8339 70,8339 70,8339 70,8339 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-03-31 1 1 71,8989 71,8989 71,8989 71,8989 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-01 1 1 73,2511 73,2511 73,2511 73,2511 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-04 1 1 73,8785 73,8785 73,8785 73,8785 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-05 1 1 73,7934 73,7934 73,7934 73,7934 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-06 1 1 73,6468 73,6468 73,6468 73,6468 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-07 1 1 73,4058 73,4058 73,4058 73,4058 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-08 1 1 74,3032 74,3032 74,3032 74,3032 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-11 1 1 73,1768 73,1768 73,1768 73,1768 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-12 1 1 73,555 73,555 73,555 73,555 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-13 1 1 73,9185 73,9185 73,9185 73,9185 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-14 1 1 73,746 73,746 73,746 73,746 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-15 1 1 72,5292 72,5292 72,5292 72,5292 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-18 1 1 70,3133 70,3133 70,3133 70,3133 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-19 1 1 70,6546 70,6546 70,6546 70,6546 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-20 1 1 70,7269 70,7269 70,7269 70,7269 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-21 1 1 70,6961 70,6961 70,6961 70,6961 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-22 1 1 70,9579 70,9579 70,9579 70,9579 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-25 1 1 71,2469 71,2469 71,2469 71,2469 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-26 1 1 71,5371 71,5371 71,5371 71,5371 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-27 1 1 71,4644 71,4644 71,4644 71,4644 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-28 1 1 71,8147 71,8147 71,8147 71,8147 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-04-29 1 1 72,0359 72,0359 72,0359 72,0359 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-02 1 1 72,4508 72,4508 72,4508 72,4508 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-03 1 1 72,4411 72,4411 72,4411 72,4411 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-04 1 1 72,5398 72,5398 72,5398 72,5398 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-06 1 1 74,1877 74,1877 74,1877 74,1877 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-09 1 1 74,4267 74,4267 74,4267 74,4267 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-10 1 1 74,1233 74,1233 74,1233 74,1233 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-11 1 1 73,9843 73,9843 73,9843 73,9843 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-12 1 1 74,4231 74,4231 74,4231 74,4231 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-13 1 1 74,7777 74,7777 74,7777 74,7777 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-16 1 1 74,5039 74,5039 74,5039 74,5039 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-17 1 1 74,2112 74,2112 74,2112 74,2112 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-18 1 1 74,5842 74,5842 74,5842 74,5842 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-19 1 1 75,309 75,309 75,309 75,309 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-20 1 1 75,6358 75,6358 75,6358 75,6358 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-23 1 1 74,8969 74,8969 74,8969 74,8969 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-24 1 1 75,0364 75,0364 75,0364 75,0364 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-25 1 1 74,3551 74,3551 74,3551 74,3551 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-26 1 1 74,7724 74,7724 74,7724 74,7724 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-27 1 1 75,645 75,645 75,645 75,645 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-30 1 1 76,0439 76,0439 76,0439 76,0439 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-05-31 1 1 76,5113 76,5113 76,5113 76,5113 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-01 1 1 76,4144 76,4144 76,4144 76,4144 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-02 1 1 76,8361 76,8361 76,8361 76,8361 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-03 1 1 76,9468 76,9468 76,9468 76,9468 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-07 1 1 77,2205 77,2205 77,2205 77,2205 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-08 1 1 77,6084 77,6084 77,6084 77,6084 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-09 1 1 78,1731 78,1731 78,1731 78,1731 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-10 1 1 79,204 79,204 79,204 79,204 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-13 1 1 80,1306 80,1306 80,1306 80,1306 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-14 1 1 80,1756 80,1756 80,1756 80,1756 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-15 1 1 80,3612 80,3612 80,3612 80,3612 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-16 1 1 80,3045 80,3045 80,3045 80,3045 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-17 1 1 79,8049 79,8049 79,8049 79,8049 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-20 1 1 79,782 79,782 79,782 79,782 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-21 1 1 79,8544 79,8544 79,8544 79,8544 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-22 1 1 81,3143 81,3143 81,3143 81,3143 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-23 1 1 83,0044 83,0044 83,0044 83,0044 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-27 1 1 81,2004 81,2004 81,2004 81,2004 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-28 1 1 80,725 80,725 80,725 80,725 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-29 1 1 82,1922 82,1922 82,1922 82,1922 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-06-30 1 1 81,7785 81,7785 81,7785 81,7785 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-01 1 1 82,3442 82,3442 82,3442 82,3442 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-04 1 1 83,1386 83,1386 83,1386 83,1386 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-05 1 1 82,1349 82,1349 82,1349 82,1349 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-06 1 1 82,0818 82,0818 82,0818 82,0818 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-07 1 1 82,1788 82,1788 82,1788 82,1788 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-08 1 1 81,6598 81,6598 81,6598 81,6598 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-11 1 1 83,1334 83,1334 83,1334 83,1334 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-12 1 1 82,5679 82,5679 82,5679 82,5679 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-13 1 1 83,0501 83,0501 83,0501 83,0501 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-14 1 1 83,997 83,997 83,997 83,997 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-15 1 1 84,1643 84,1643 84,1643 84,1643 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-18 1 1 84,1258 84,1258 84,1258 84,1258 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-19 1 1 85,2929 85,2929 85,2929 85,2929 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-20 1 1 84,893 84,893 84,893 84,893 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-21 1 1 84,8251 84,8251 84,8251 84,8251 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-22 1 1 85,591 85,591 85,591 85,591 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-25 1 1 86,2344 86,2344 86,2344 86,2344 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-26 1 1 86,837 86,837 86,837 86,837 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-27 1 1 86,5094 86,5094 86,5094 86,5094 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-28 1 1 86,113 86,113 86,113 86,113 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-07-29 1 1 86,3324 86,3324 86,3324 86,3324 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-01 1 1 85,8392 85,8392 85,8392 85,8392 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-02 1 1 86,6202 86,6202 86,6202 86,6202 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-03 1 1 86,5708 86,5708 86,5708 86,5708 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-04 1 1 85,9081 85,9081 85,9081 85,9081 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-05 1 1 85,0658 85,0658 85,0658 85,0658 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-08 1 1 84,6559 84,6559 84,6559 84,6559 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-09 1 1 85,1292 85,1292 85,1292 85,1292 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-10 1 1 85,4184 85,4184 85,4184 85,4184 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-11 1 1 85,2814 85,2814 85,2814 85,2814 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-12 1 1 85,5933 85,5933 85,5933 85,5933 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-15 1 1 85,3377 85,3377 85,3377 85,3377 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-16 1 1 85,1452 85,1452 85,1452 85,1452 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-17 1 1 84,7814 84,7814 84,7814 84,7814 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-18 1 1 84,8398 84,8398 84,8398 84,8398 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-19 1 1 84,7138 84,7138 84,7138 84,7138 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-22 1 1 85,3788 85,3788 85,3788 85,3788 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-23 1 1 84,7771 84,7771 84,7771 84,7771 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-24 1 1 83,1347 83,1347 83,1347 83,1347 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-25 1 1 83,2588 83,2588 83,2588 83,2588 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-26 1 1 82,9016 82,9016 82,9016 82,9016 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-29 1 1 82,2691 82,2691 82,2691 82,2691 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-30 1 1 82,445 82,445 82,445 82,445 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-08-31 1 1 82,1984 82,1984 82,1984 82,1984 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-01 1 1 82,4122 82,4122 82,4122 82,4122 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-02 1 1 82,1629 82,1629 82,1629 82,1629 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-05 1 1 82,1313 82,1313 82,1313 82,1313 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-06 1 1 82,6277 82,6277 82,6277 82,6277 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-07 1 1 83,5462 83,5462 83,5462 83,5462 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-08 1 1 83,6335 83,6335 83,6335 83,6335 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-09 1 1 83,8282 83,8282 83,8282 83,8282 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-12 1 1 85,1646 85,1646 85,1646 85,1646 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-13 1 1 85,6471 85,6471 85,6471 85,6471 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-14 1 1 85,6996 85,6996 85,6996 85,6996 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-15 1 1 85,9223 85,9223 85,9223 85,9223 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-16 1 1 85,2791 85,2791 85,2791 85,2791 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-20 1 1 86,8043 86,8043 86,8043 86,8043 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-21 1 1 86,4107 86,4107 86,4107 86,4107 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-22 1 1 86,0836 86,0836 86,0836 86,0836 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-23 1 1 85,838 85,838 85,838 85,838 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-26 1 1 87,0179 87,0179 87,0179 87,0179 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-27 1 1 87,3245 87,3245 87,3245 87,3245 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-28 1 1 87,8464 87,8464 87,8464 87,8464 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-29 1 1 88,3301 88,3301 88,3301 88,3301 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-09-30 1 1 88,1948 88,1948 88,1948 88,1948 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-03 1 1 88,6969 88,6969 88,6969 88,6969 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-04 1 1 89,7353 89,7353 89,7353 89,7353 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-05 1 1 88,9685 88,9685 88,9685 88,9685 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-06 1 1 86,2118 86,2118 86,2118 86,2118 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-07 1 1 86,3678 86,3678 86,3678 86,3678 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-10 1 1 87,556 87,556 87,556 87,556 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-11 1 1 88,1607 88,1607 88,1607 88,1607 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-12 1 1 86,1297 86,1297 86,1297 86,1297 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-13 1 1 86,1142 86,1142 86,1142 86,1142 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-14 1 1 85,7341 85,7341 85,7341 85,7341 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-17 1 1 84,9913 84,9913 84,9913 84,9913 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-18 1 1 85,6244 85,6244 85,6244 85,6244 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-19 1 1 83,3363 83,3363 83,3363 83,3363 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-20 1 1 83,8435 83,8435 83,8435 83,8435 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-21 1 1 83,9636 83,9636 83,9636 83,9636 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-24 1 1 84,7866 84,7866 84,7866 84,7866 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-25 1 1 83,5332 83,5332 83,5332 83,5332 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-26 1 1 83,7255 83,7255 83,7255 83,7255 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-27 1 1 82,932 82,932 82,932 82,932 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-28 1 1 82,4869 82,4869 82,4869 82,4869 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-10-31 1 1 84,8671 84,8671 84,8671 84,8671 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-01 1 1 86,8979 86,8979 86,8979 86,8979 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-02 1 1 88,0776 88,0776 88,0776 88,0776 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-03 1 1 88,845 88,845 88,845 88,845 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-04 1 1 89,3276 89,3276 89,3276 89,3276 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-07 1 1 89,9173 89,9173 89,9173 89,9173 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-08 1 1 89,5983 89,5983 89,5983 89,5983 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-09 1 1 90,4966 90,4966 90,4966 90,4966 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-10 1 1 91,3504 91,3504 91,3504 91,3504 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-11 1 1 92,4441 92,4441 92,4441 92,4441 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-14 1 1 92,193 92,193 92,193 92,193 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-15 1 1 92,3355 92,3355 92,3355 92,3355 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-16 1 1 92,2262 92,2262 92,2262 92,2262 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-17 1 1 91,9919 91,9919 91,9919 91,9919 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-18 1 1 92,1461 92,1461 92,1461 92,1461 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-21 1 1 91,6506 91,6506 91,6506 91,6506 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-22 1 1 91,4317 91,4317 91,4317 91,4317 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-23 1 1 91,9175 91,9175 91,9175 91,9175 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-24 1 1 92,265 92,265 92,265 92,265 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-25 1 1 91,9101 91,9101 91,9101 91,9101 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-28 1 1 92,7878 92,7878 92,7878 92,7878 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-29 1 1 92,0758 92,0758 92,0758 92,0758 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-11-30 1 1 93,1093 93,1093 93,1093 93,1093 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-01 1 1 93,4549 93,4549 93,4549 93,4549 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-02 1 1 93,435 93,435 93,435 93,435 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-05 1 1 93,5638 93,5638 93,5638 93,5638 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-06 1 1 93,2651 93,2651 93,2651 93,2651 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-07 1 1 94,3108 94,3108 94,3108 94,3108 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-08 1 1 93,7683 93,7683 93,7683 93,7683 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-12 1 1 92,7716 92,7716 92,7716 92,7716 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-13 1 1 93,2041 93,2041 93,2041 93,2041 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-14 1 1 92,7796 92,7796 92,7796 92,7796 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-15 1 1 93,1698 93,1698 93,1698 93,1698 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-16 1 1 93,3076 93,3076 93,3076 93,3076 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-19 1 1 93,9334 93,9334 93,9334 93,9334 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-20 1 1 94,2829 94,2829 94,2829 94,2829 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-21 1 1 95,9799 95,9799 95,9799 95,9799 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-22 1 1 95,8044 95,8044 95,8044 95,8044 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-23 1 1 96,7907 96,7907 96,7907 96,7907 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-27 1 1 97,4729 97,4729 97,4729 97,4729 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-28 1 1 95,9902 95,9902 95,9902 95,9902 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-29 1 1 97,6132 97,6132 97,6132 97,6132 720623 Nordea Fonder AB Nordea Fjärran Östernfond SEK 2005-12-30 1 1 97,5521 97,5521 97,5521 97,5521 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-03 1 1 93,8165 93,8165 93,8165 93,8165 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-04 1 1 94,3804 94,3804 94,3804 94,3804 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-05 1 1 93,7753 93,7753 93,7753 93,7753 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-07 1 1 94,2098 94,2098 94,2098 94,2098 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-10 1 1 94,8355 94,8355 94,8355 94,8355 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-11 1 1 95,2904 95,2904 95,2904 95,2904 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-12 1 1 95,1998 95,1998 95,1998 95,1998 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-13 1 1 94,4956 94,4956 94,4956 94,4956 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-14 1 1 95,5808 95,5808 95,5808 95,5808 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-17 1 1 96,2856 96,2856 96,2856 96,2856 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-18 1 1 95,8275 95,8275 95,8275 95,8275 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-19 1 1 95,6948 95,6948 95,6948 95,6948 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-20 1 1 95,0084 95,0084 95,0084 95,0084 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-21 1 1 94,3814 94,3814 94,3814 94,3814 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-24 1 1 94,6845 94,6845 94,6845 94,6845 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-25 1 1 93,8954 93,8954 93,8954 93,8954 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-26 1 1 95,1141 95,1141 95,1141 95,1141 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-27 1 1 94,4202 94,4202 94,4202 94,4202 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-28 1 1 94,442 94,442 94,442 94,442 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-01-31 1 1 94,6591 94,6591 94,6591 94,6591 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-01 1 1 94,1385 94,1385 94,1385 94,1385 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-02 1 1 94,1405 94,1405 94,1405 94,1405 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-03 1 1 93,6813 93,6813 93,6813 93,6813 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-04 1 1 94,6127 94,6127 94,6127 94,6127 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-07 1 1 95,3995 95,3995 95,3995 95,3995 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-08 1 1 95,1072 95,1072 95,1072 95,1072 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-09 1 1 94,7267 94,7267 94,7267 94,7267 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-10 1 1 94,8649 94,8649 94,8649 94,8649 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-11 1 1 95,0167 95,0167 95,0167 95,0167 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-14 1 1 95,5003 95,5003 95,5003 95,5003 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-15 1 1 95,3169 95,3169 95,3169 95,3169 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-16 1 1 94,8418 94,8418 94,8418 94,8418 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-17 1 1 94,1914 94,1914 94,1914 94,1914 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-18 1 1 94,6524 94,6524 94,6524 94,6524 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-21 1 1 94,685 94,685 94,685 94,685 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-22 1 1 94,3086 94,3086 94,3086 94,3086 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-23 1 1 92,7041 92,7041 92,7041 92,7041 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-24 1 1 92,4552 92,4552 92,4552 92,4552 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-25 1 1 93,3897 93,3897 93,3897 93,3897 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-02-28 1 1 94,3607 94,3607 94,3607 94,3607 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-01 1 1 94,417 94,417 94,417 94,417 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-02 1 1 95,4839 95,4839 95,4839 95,4839 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-03 1 1 95,0554 95,0554 95,0554 95,0554 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-04 1 1 94,8263 94,8263 94,8263 94,8263 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-07 1 1 94,747 94,747 94,747 94,747 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-08 1 1 94,4181 94,4181 94,4181 94,4181 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-09 1 1 95,4364 95,4364 95,4364 95,4364 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-10 1 1 94,5034 94,5034 94,5034 94,5034 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-11 1 1 94,631 94,631 94,631 94,631 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-14 1 1 94,0415 94,0415 94,0415 94,0415 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-15 1 1 94,4246 94,4246 94,4246 94,4246 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-16 1 1 94,3815 94,3815 94,3815 94,3815 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-17 1 1 93,5904 93,5904 93,5904 93,5904 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-18 1 1 94,752 94,752 94,752 94,752 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-21 1 1 95,17 95,17 95,17 95,17 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-22 1 1 95,0643 95,0643 95,0643 95,0643 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-23 1 1 94,9196 94,9196 94,9196 94,9196 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-24 1 1 93,9058 93,9058 93,9058 93,9058 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-29 1 1 93,4711 93,4711 93,4711 93,4711 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-30 1 1 93,2401 93,2401 93,2401 93,2401 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-03-31 1 1 94,2859 94,2859 94,2859 94,2859 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-01 1 1 94,6395 94,6395 94,6395 94,6395 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-04 1 1 94,4853 94,4853 94,4853 94,4853 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-05 1 1 94,918 94,918 94,918 94,918 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-06 1 1 95,1795 95,1795 95,1795 95,1795 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-07 1 1 94,9919 94,9919 94,9919 94,9919 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-08 1 1 95,5474 95,5474 95,5474 95,5474 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-11 1 1 94,5709 94,5709 94,5709 94,5709 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-12 1 1 93,5163 93,5163 93,5163 93,5163 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-13 1 1 94,0922 94,0922 94,0922 94,0922 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-14 1 1 93,7674 93,7674 93,7674 93,7674 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-15 1 1 92,3608 92,3608 92,3608 92,3608 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-18 1 1 88,9919 88,9919 88,9919 88,9919 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-19 1 1 90,2663 90,2663 90,2663 90,2663 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-20 1 1 90,5264 90,5264 90,5264 90,5264 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-21 1 1 89,3507 89,3507 89,3507 89,3507 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-22 1 1 90,761 90,761 90,761 90,761 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-25 1 1 91,3382 91,3382 91,3382 91,3382 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-26 1 1 90,5098 90,5098 90,5098 90,5098 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-27 1 1 90,5676 90,5676 90,5676 90,5676 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-28 1 1 90,8824 90,8824 90,8824 90,8824 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-04-29 1 1 91,3413 91,3413 91,3413 91,3413 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-02 1 1 92,4001 92,4001 92,4001 92,4001 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-03 1 1 92,2737 92,2737 92,2737 92,2737 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-04 1 1 91,8884 91,8884 91,8884 91,8884 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-06 1 1 94,0779 94,0779 94,0779 94,0779 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-09 1 1 93,6084 93,6084 93,6084 93,6084 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-10 1 1 93,4212 93,4212 93,4212 93,4212 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-11 1 1 93,1841 93,1841 93,1841 93,1841 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-12 1 1 92,8033 92,8033 92,8033 92,8033 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-13 1 1 92,588 92,588 92,588 92,588 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-16 1 1 92,06 92,06 92,06 92,06 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-17 1 1 91,3556 91,3556 91,3556 91,3556 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-18 1 1 91,3014 91,3014 91,3014 91,3014 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-19 1 1 93,0357 93,0357 93,0357 93,0357 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-20 1 1 92,6917 92,6917 92,6917 92,6917 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-23 1 1 93,5586 93,5586 93,5586 93,5586 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-24 1 1 93,3791 93,3791 93,3791 93,3791 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-25 1 1 92,6401 92,6401 92,6401 92,6401 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-26 1 1 92,3771 92,3771 92,3771 92,3771 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-27 1 1 93,0232 93,0232 93,0232 93,0232 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-30 1 1 94,0397 94,0397 94,0397 94,0397 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-05-31 1 1 94,4851 94,4851 94,4851 94,4851 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-01 1 1 95,0385 95,0385 95,0385 95,0385 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-02 1 1 95,3296 95,3296 95,3296 95,3296 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-03 1 1 95,1918 95,1918 95,1918 95,1918 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-07 1 1 95,3961 95,3961 95,3961 95,3961 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-08 1 1 96,0143 96,0143 96,0143 96,0143 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-09 1 1 95,3388 95,3388 95,3388 95,3388 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-10 1 1 96,4156 96,4156 96,4156 96,4156 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-13 1 1 96,6812 96,6812 96,6812 96,6812 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-14 1 1 97,1991 97,1991 97,1991 97,1991 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-15 1 1 97,5029 97,5029 97,5029 97,5029 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-16 1 1 97,8538 97,8538 97,8538 97,8538 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-17 1 1 97,8915 97,8915 97,8915 97,8915 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-20 1 1 97,5641 97,5641 97,5641 97,5641 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-21 1 1 98,4322 98,4322 98,4322 98,4322 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-22 1 1 99,0589 99,0589 99,0589 99,0589 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-23 1 1 100,6482 100,6482 100,6482 100,6482 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-27 1 1 98,2898 98,2898 98,2898 98,2898 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-28 1 1 98,7841 98,7841 98,7841 98,7841 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-29 1 1 99,9672 99,9672 99,9672 99,9672 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-06-30 1 1 99,6257 99,6257 99,6257 99,6257 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-01 1 1 99,9897 99,9897 99,9897 99,9897 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-04 1 1 101,3344 101,3344 101,3344 101,3344 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-05 1 1 100,5889 100,5889 100,5889 100,5889 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-06 1 1 99,8559 99,8559 99,8559 99,8559 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-07 1 1 99,8471 99,8471 99,8471 99,8471 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-08 1 1 99,451 99,451 99,451 99,451 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-11 1 1 100,2293 100,2293 100,2293 100,2293 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-12 1 1 99,7072 99,7072 99,7072 99,7072 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-13 1 1 98,4861 98,4861 98,4861 98,4861 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-14 1 1 99,3572 99,3572 99,3572 99,3572 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-15 1 1 100,0144 100,0144 100,0144 100,0144 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-19 1 1 99,8551 99,8551 99,8551 99,8551 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-20 1 1 99,6864 99,6864 99,6864 99,6864 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-21 1 1 100,8848 100,8848 100,8848 100,8848 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-22 1 1 100,1402 100,1402 100,1402 100,1402 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-25 1 1 99,864 99,864 99,864 99,864 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-26 1 1 100,1013 100,1013 100,1013 100,1013 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-27 1 1 100,6929 100,6929 100,6929 100,6929 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-28 1 1 100,4432 100,4432 100,4432 100,4432 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-07-29 1 1 100,7368 100,7368 100,7368 100,7368 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-01 1 1 100,4242 100,4242 100,4242 100,4242 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-02 1 1 100,6114 100,6114 100,6114 100,6114 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-03 1 1 100,195 100,195 100,195 100,195 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-04 1 1 98,7855 98,7855 98,7855 98,7855 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-05 1 1 97,0141 97,0141 97,0141 97,0141 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-08 1 1 97,206 97,206 97,206 97,206 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-09 1 1 98,365 98,365 98,365 98,365 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-10 1 1 100,9051 100,9051 100,9051 100,9051 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-11 1 1 102,3146 102,3146 102,3146 102,3146 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-12 1 1 102,8145 102,8145 102,8145 102,8145 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-15 1 1 103,6076 103,6076 103,6076 103,6076 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-16 1 1 104,6742 104,6742 104,6742 104,6742 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-17 1 1 104,3394 104,3394 104,3394 104,3394 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-18 1 1 104,9028 104,9028 104,9028 104,9028 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-19 1 1 105,2181 105,2181 105,2181 105,2181 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-22 1 1 107,3471 107,3471 107,3471 107,3471 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-23 1 1 107,0252 107,0252 107,0252 107,0252 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-24 1 1 106,8927 106,8927 106,8927 106,8927 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-25 1 1 106,5675 106,5675 106,5675 106,5675 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-26 1 1 106,203 106,203 106,203 106,203 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-29 1 1 104,4644 104,4644 104,4644 104,4644 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-30 1 1 106,219 106,219 106,219 106,219 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-08-31 1 1 105,6757 105,6757 105,6757 105,6757 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-01 1 1 105,4532 105,4532 105,4532 105,4532 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-02 1 1 105,3261 105,3261 105,3261 105,3261 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-05 1 1 106,6877 106,6877 106,6877 106,6877 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-06 1 1 106,5517 106,5517 106,5517 106,5517 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-07 1 1 106,7837 106,7837 106,7837 106,7837 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-08 1 1 106,1097 106,1097 106,1097 106,1097 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-09 1 1 108,0016 108,0016 108,0016 108,0016 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-12 1 1 109,8697 109,8697 109,8697 109,8697 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-13 1 1 110,1464 110,1464 110,1464 110,1464 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-14 1 1 110,143 110,143 110,143 110,143 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-15 1 1 111,7546 111,7546 111,7546 111,7546 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-16 1 1 111,2966 111,2966 111,2966 111,2966 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-20 1 1 113,1399 113,1399 113,1399 113,1399 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-21 1 1 113,7493 113,7493 113,7493 113,7493 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-22 1 1 113,534 113,534 113,534 113,534 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-26 1 1 117,3883 117,3883 117,3883 117,3883 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-27 1 1 116,5861 116,5861 116,5861 116,5861 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-28 1 1 119,2195 119,2195 119,2195 119,2195 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-29 1 1 120,6023 120,6023 120,6023 120,6023 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-09-30 1 1 119,192 119,192 119,192 119,192 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-03 1 1 118,8285 118,8285 118,8285 118,8285 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-04 1 1 119,6202 119,6202 119,6202 119,6202 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-05 1 1 118,9404 118,9404 118,9404 118,9404 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-06 1 1 114,0703 114,0703 114,0703 114,0703 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-07 1 1 114,1506 114,1506 114,1506 114,1506 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-11 1 1 118,0626 118,0626 118,0626 118,0626 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-12 1 1 117,3925 117,3925 117,3925 117,3925 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-13 1 1 118,4016 118,4016 118,4016 118,4016 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-14 1 1 117,6239 117,6239 117,6239 117,6239 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-17 1 1 116,9326 116,9326 116,9326 116,9326 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-18 1 1 116,8941 116,8941 116,8941 116,8941 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-19 1 1 115,6925 115,6925 115,6925 115,6925 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-20 1 1 115,9453 115,9453 115,9453 115,9453 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-21 1 1 115,6893 115,6893 115,6893 115,6893 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-24 1 1 116,2636 116,2636 116,2636 116,2636 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-25 1 1 116,5878 116,5878 116,5878 116,5878 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-26 1 1 117,0508 117,0508 117,0508 117,0508 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-27 1 1 117,8288 117,8288 117,8288 117,8288 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-28 1 1 117,3145 117,3145 117,3145 117,3145 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-10-31 1 1 119,9059 119,9059 119,9059 119,9059 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-01 1 1 122,9696 122,9696 122,9696 122,9696 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-02 1 1 123,5473 123,5473 123,5473 123,5473 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-04 1 1 125,4831 125,4831 125,4831 125,4831 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-07 1 1 127,1186 127,1186 127,1186 127,1186 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-08 1 1 126,5786 126,5786 126,5786 126,5786 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-09 1 1 126,7351 126,7351 126,7351 126,7351 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-10 1 1 126,2778 126,2778 126,2778 126,2778 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-11 1 1 127,4425 127,4425 127,4425 127,4425 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-14 1 1 125,7493 125,7493 125,7493 125,7493 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-15 1 1 126,0415 126,0415 126,0415 126,0415 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-16 1 1 126,8869 126,8869 126,8869 126,8869 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-17 1 1 129,5006 129,5006 129,5006 129,5006 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-18 1 1 130,4162 130,4162 130,4162 130,4162 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-21 1 1 129,8049 129,8049 129,8049 129,8049 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-22 1 1 130,0195 130,0195 130,0195 130,0195 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-24 1 1 129,0506 129,0506 129,0506 129,0506 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-25 1 1 128,821 128,821 128,821 128,821 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-28 1 1 129,7338 129,7338 129,7338 129,7338 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-29 1 1 130,0117 130,0117 130,0117 130,0117 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-11-30 1 1 129,0638 129,0638 129,0638 129,0638 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-01 1 1 130,4172 130,4172 130,4172 130,4172 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-02 1 1 130,3703 130,3703 130,3703 130,3703 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-05 1 1 130,2762 130,2762 130,2762 130,2762 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-06 1 1 128,9075 128,9075 128,9075 128,9075 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-07 1 1 130,5848 130,5848 130,5848 130,5848 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-08 1 1 128,501 128,501 128,501 128,501 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-12 1 1 130,4423 130,4423 130,4423 130,4423 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-13 1 1 131,029 131,029 131,029 131,029 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-14 1 1 130,4336 130,4336 130,4336 130,4336 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-15 1 1 130,8855 130,8855 130,8855 130,8855 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-16 1 1 131,5911 131,5911 131,5911 131,5911 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-19 1 1 132,1906 132,1906 132,1906 132,1906 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-20 1 1 134,1428 134,1428 134,1428 134,1428 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-21 1 1 136,1365 136,1365 136,1365 136,1365 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-22 1 1 137,3229 137,3229 137,3229 137,3229 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-27 1 1 136,9152 136,9152 136,9152 136,9152 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-28 1 1 136,167 136,167 136,167 136,167 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-29 1 1 137,1096 137,1096 137,1096 137,1096 756452 Nordea Fonder AB Nordea Japanfond SEK 2005-12-30 1 1 135,9918 135,9918 135,9918 135,9918 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-03 1 1 340,8791 340,8791 340,8791 340,8791 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-04 1 1 342,0116 342,0116 342,0116 342,0116 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-05 1 1 341,0682 341,0682 341,0682 341,0682 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-07 1 1 340,6984 340,6984 340,6984 340,6984 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-10 1 1 343,6223 343,6223 343,6223 343,6223 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-11 1 1 340,9665 340,9665 340,9665 340,9665 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-12 1 1 338,8287 338,8287 338,8287 338,8287 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-13 1 1 340,681 340,681 340,681 340,681 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-14 1 1 341,6339 341,6339 341,6339 341,6339 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-17 1 1 344,4698 344,4698 344,4698 344,4698 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-18 1 1 345,2573 345,2573 345,2573 345,2573 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-19 1 1 346,5836 346,5836 346,5836 346,5836 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-20 1 1 345,7798 345,7798 345,7798 345,7798 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-21 1 1 344,5061 344,5061 344,5061 344,5061 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-24 1 1 340,9852 340,9852 340,9852 340,9852 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-25 1 1 343,5401 343,5401 343,5401 343,5401 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-26 1 1 345,2034 345,2034 345,2034 345,2034 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-27 1 1 345,7868 345,7868 345,7868 345,7868 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-28 1 1 345,8183 345,8183 345,8183 345,8183 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-01-31 1 1 348,1548 348,1548 348,1548 348,1548 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-01 1 1 347,5028 347,5028 347,5028 347,5028 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-02 1 1 349,1651 349,1651 349,1651 349,1651 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-03 1 1 351,5705 351,5705 351,5705 351,5705 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-04 1 1 354,4998 354,4998 354,4998 354,4998 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-07 1 1 360,6928 360,6928 360,6928 360,6928 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-08 1 1 363,8427 363,8427 363,8427 363,8427 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-09 1 1 361,6177 361,6177 361,6177 361,6177 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-10 1 1 358,5288 358,5288 358,5288 358,5288 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-11 1 1 359,5499 359,5499 359,5499 359,5499 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-14 1 1 360,3615 360,3615 360,3615 360,3615 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-15 1 1 359,6861 359,6861 359,6861 359,6861 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-16 1 1 358,5689 358,5689 358,5689 358,5689 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-17 1 1 359,2341 359,2341 359,2341 359,2341 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-18 1 1 357,0094 357,0094 357,0094 357,0094 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-21 1 1 358,2744 358,2744 358,2744 358,2744 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-22 1 1 352,9254 352,9254 352,9254 352,9254 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-23 1 1 349,7835 349,7835 349,7835 349,7835 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-24 1 1 349,3521 349,3521 349,3521 349,3521 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-25 1 1 353,9923 353,9923 353,9923 353,9923 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-02-28 1 1 354,6027 354,6027 354,6027 354,6027 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-01 1 1 354,4235 354,4235 354,4235 354,4235 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-02 1 1 356,4974 356,4974 356,4974 356,4974 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-03 1 1 357,8568 357,8568 357,8568 357,8568 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-04 1 1 356,4853 356,4853 356,4853 356,4853 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-07 1 1 358,3305 358,3305 358,3305 358,3305 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-08 1 1 354,7497 354,7497 354,7497 354,7497 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-09 1 1 351,8079 351,8079 351,8079 351,8079 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-10 1 1 349,4094 349,4094 349,4094 349,4094 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-11 1 1 349,4534 349,4534 349,4534 349,4534 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-14 1 1 348,9787 348,9787 348,9787 348,9787 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-15 1 1 353,3517 353,3517 353,3517 353,3517 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-16 1 1 345,8036 345,8036 345,8036 345,8036 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-17 1 1 345,3445 345,3445 345,3445 345,3445 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-18 1 1 348,7606 348,7606 348,7606 348,7606 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-21 1 1 350,8506 350,8506 350,8506 350,8506 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-22 1 1 350,9759 350,9759 350,9759 350,9759 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-23 1 1 351,0962 351,0962 351,0962 351,0962 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-24 1 1 353,2034 353,2034 353,2034 353,2034 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-29 1 1 355,8639 355,8639 355,8639 355,8639 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-30 1 1 350,4236 350,4236 350,4236 350,4236 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-03-31 1 1 355,7523 355,7523 355,7523 355,7523 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-01 1 1 356,6514 356,6514 356,6514 356,6514 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-04 1 1 358,9699 358,9699 358,9699 358,9699 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-05 1 1 360,6014 360,6014 360,6014 360,6014 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-06 1 1 360,2762 360,2762 360,2762 360,2762 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-07 1 1 358,8739 358,8739 358,8739 358,8739 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-08 1 1 362,3794 362,3794 362,3794 362,3794 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-11 1 1 355,8466 355,8466 355,8466 355,8466 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-12 1 1 355,422 355,422 355,422 355,422 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-13 1 1 357,8132 357,8132 357,8132 357,8132 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-14 1 1 358,3226 358,3226 358,3226 358,3226 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-15 1 1 353,3804 353,3804 353,3804 353,3804 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-18 1 1 346,6276 346,6276 346,6276 346,6276 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-19 1 1 348,1711 348,1711 348,1711 348,1711 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-20 1 1 349,7278 349,7278 349,7278 349,7278 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-21 1 1 343,0228 343,0228 343,0228 343,0228 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-22 1 1 347,2514 347,2514 347,2514 347,2514 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-25 1 1 349,0239 349,0239 349,0239 349,0239 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-26 1 1 349,1134 349,1134 349,1134 349,1134 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-27 1 1 346,7528 346,7528 346,7528 346,7528 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-28 1 1 348,2032 348,2032 348,2032 348,2032 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-04-29 1 1 346,5612 346,5612 346,5612 346,5612 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-02 1 1 352,6002 352,6002 352,6002 352,6002 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-03 1 1 353,8952 353,8952 353,8952 353,8952 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-04 1 1 350,6854 350,6854 350,6854 350,6854 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-06 1 1 358,9906 358,9906 358,9906 358,9906 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-09 1 1 358,2604 358,2604 358,2604 358,2604 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-10 1 1 360,3061 360,3061 360,3061 360,3061 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-11 1 1 358,0629 358,0629 358,0629 358,0629 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-12 1 1 362,3065 362,3065 362,3065 362,3065 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-13 1 1 361,3536 361,3536 361,3536 361,3536 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-16 1 1 359,9936 359,9936 359,9936 359,9936 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-17 1 1 362,9239 362,9239 362,9239 362,9239 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-18 1 1 366,7133 366,7133 366,7133 366,7133 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-19 1 1 368,7176 368,7176 368,7176 368,7176 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-20 1 1 369,8523 369,8523 369,8523 369,8523 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-23 1 1 369,2843 369,2843 369,2843 369,2843 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-24 1 1 369,6794 369,6794 369,6794 369,6794 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-25 1 1 370,6661 370,6661 370,6661 370,6661 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-26 1 1 373,8355 373,8355 373,8355 373,8355 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-27 1 1 375,5665 375,5665 375,5665 375,5665 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-30 1 1 376,2331 376,2331 376,2331 376,2331 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-05-31 1 1 381,4926 381,4926 381,4926 381,4926 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-01 1 1 380,0895 380,0895 380,0895 380,0895 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-02 1 1 383,1314 383,1314 383,1314 383,1314 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-03 1 1 384,6928 384,6928 384,6928 384,6928 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-07 1 1 384,7234 384,7234 384,7234 384,7234 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-08 1 1 384,0338 384,0338 384,0338 384,0338 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-09 1 1 386,0613 386,0613 386,0613 386,0613 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-10 1 1 392,1847 392,1847 392,1847 392,1847 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-13 1 1 397,2016 397,2016 397,2016 397,2016 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-14 1 1 398,8047 398,8047 398,8047 398,8047 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-15 1 1 399,5612 399,5612 399,5612 399,5612 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-16 1 1 400,0581 400,0581 400,0581 400,0581 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-17 1 1 399,0903 399,0903 399,0903 399,0903 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-20 1 1 398,8252 398,8252 398,8252 398,8252 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-21 1 1 400,7703 400,7703 400,7703 400,7703 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-22 1 1 402,5023 402,5023 402,5023 402,5023 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-23 1 1 407,9635 407,9635 407,9635 407,9635 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-27 1 1 400,5109 400,5109 400,5109 400,5109 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-28 1 1 403,7057 403,7057 403,7057 403,7057 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-29 1 1 408,1135 408,1135 408,1135 408,1135 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-06-30 1 1 411,7838 411,7838 411,7838 411,7838 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-01 1 1 406,4932 406,4932 406,4932 406,4932 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-05 1 1 406,8761 406,8761 406,8761 406,8761 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-06 1 1 413,0274 413,0274 413,0274 413,0274 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-07 1 1 408,2969 408,2969 408,2969 408,2969 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-08 1 1 411,7039 411,7039 411,7039 411,7039 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-11 1 1 417,4093 417,4093 417,4093 417,4093 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-12 1 1 412,5052 412,5052 412,5052 412,5052 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-13 1 1 411,8551 411,8551 411,8551 411,8551 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-14 1 1 412,7446 412,7446 412,7446 412,7446 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-15 1 1 414,2604 414,2604 414,2604 414,2604 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-18 1 1 412,0599 412,0599 412,0599 412,0599 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-19 1 1 416,4052 416,4052 416,4052 416,4052 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-20 1 1 416,8167 416,8167 416,8167 416,8167 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-21 1 1 416,885 416,885 416,885 416,885 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-22 1 1 415,5936 415,5936 415,5936 415,5936 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-25 1 1 418,9707 418,9707 418,9707 418,9707 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-26 1 1 422,5003 422,5003 422,5003 422,5003 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-27 1 1 420,9176 420,9176 420,9176 420,9176 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-28 1 1 420,9734 420,9734 420,9734 420,9734 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-07-29 1 1 420,8957 420,8957 420,8957 420,8957 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-01 1 1 415,8863 415,8863 415,8863 415,8863 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-02 1 1 416,035 416,035 416,035 416,035 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-03 1 1 415,6184 415,6184 415,6184 415,6184 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-04 1 1 409,7012 409,7012 409,7012 409,7012 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-05 1 1 407,1691 407,1691 407,1691 407,1691 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-08 1 1 405,0753 405,0753 405,0753 405,0753 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-09 1 1 405,0228 405,0228 405,0228 405,0228 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-10 1 1 408,4233 408,4233 408,4233 408,4233 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-11 1 1 403,7119 403,7119 403,7119 403,7119 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-12 1 1 404,6456 404,6456 404,6456 404,6456 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-15 1 1 404,7392 404,7392 404,7392 404,7392 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-16 1 1 406,0063 406,0063 406,0063 406,0063 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-17 1 1 402,3456 402,3456 402,3456 402,3456 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-18 1 1 405,0182 405,0182 405,0182 405,0182 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-19 1 1 408,6418 408,6418 408,6418 408,6418 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-22 1 1 408,2754 408,2754 408,2754 408,2754 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-23 1 1 407,1024 407,1024 407,1024 407,1024 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-24 1 1 403,3807 403,3807 403,3807 403,3807 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-25 1 1 402,2057 402,2057 402,2057 402,2057 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-26 1 1 400,8693 400,8693 400,8693 400,8693 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-29 1 1 400,6926 400,6926 400,6926 400,6926 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-30 1 1 405,7623 405,7623 405,7623 405,7623 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-08-31 1 1 405,4167 405,4167 405,4167 405,4167 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-01 1 1 404,094 404,094 404,094 404,094 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-02 1 1 398,3194 398,3194 398,3194 398,3194 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-06 1 1 400,1248 400,1248 400,1248 400,1248 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-07 1 1 404,3757 404,3757 404,3757 404,3757 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-08 1 1 406,7685 406,7685 406,7685 406,7685 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-09 1 1 407,0074 407,0074 407,0074 407,0074 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-12 1 1 411,4155 411,4155 411,4155 411,4155 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-13 1 1 412,0879 412,0879 412,0879 412,0879 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-14 1 1 411,6585 411,6585 411,6585 411,6585 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-15 1 1 412,8803 412,8803 412,8803 412,8803 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-16 1 1 412,811 412,811 412,811 412,811 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-19 1 1 416,705 416,705 416,705 416,705 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-20 1 1 417,7362 417,7362 417,7362 417,7362 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-21 1 1 409,5467 409,5467 409,5467 409,5467 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-22 1 1 409,241 409,241 409,241 409,241 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-23 1 1 413,5553 413,5553 413,5553 413,5553 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-26 1 1 417,344 417,344 417,344 417,344 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-27 1 1 418,1395 418,1395 418,1395 418,1395 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-28 1 1 418,8852 418,8852 418,8852 418,8852 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-29 1 1 417,3308 417,3308 417,3308 417,3308 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-09-30 1 1 418,9325 418,9325 418,9325 418,9325 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-03 1 1 422,3071 422,3071 422,3071 422,3071 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-04 1 1 423,2701 423,2701 423,2701 423,2701 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-05 1 1 416,2614 416,2614 416,2614 416,2614 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-06 1 1 405,3512 405,3512 405,3512 405,3512 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-07 1 1 405,9795 405,9795 405,9795 405,9795 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-11 1 1 409,1597 409,1597 409,1597 409,1597 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-12 1 1 408,4644 408,4644 408,4644 408,4644 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-13 1 1 408,6641 408,6641 408,6641 408,6641 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-14 1 1 408,5178 408,5178 408,5178 408,5178 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-17 1 1 412,8484 412,8484 412,8484 412,8484 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-18 1 1 414,6851 414,6851 414,6851 414,6851 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-19 1 1 408,7859 408,7859 408,7859 408,7859 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-20 1 1 414,8317 414,8317 414,8317 414,8317 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-21 1 1 407,647 407,647 407,647 407,647 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-24 1 1 414,912 414,912 414,912 414,912 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-25 1 1 413,0332 413,0332 413,0332 413,0332 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-26 1 1 413,5245 413,5245 413,5245 413,5245 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-27 1 1 409,1465 409,1465 409,1465 409,1465 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-28 1 1 410,1031 410,1031 410,1031 410,1031 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-10-31 1 1 419,5455 419,5455 419,5455 419,5455 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-01 1 1 420,5877 420,5877 420,5877 420,5877 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-02 1 1 422,5253 422,5253 422,5253 422,5253 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-03 1 1 431,2711 431,2711 431,2711 431,2711 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-04 1 1 433,4107 433,4107 433,4107 433,4107 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-07 1 1 437,7839 437,7839 437,7839 437,7839 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-08 1 1 436,3562 436,3562 436,3562 436,3562 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-09 1 1 437,9358 437,9358 437,9358 437,9358 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-10 1 1 441,5811 441,5811 441,5811 441,5811 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-11 1 1 442,8775 442,8775 442,8775 442,8775 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-14 1 1 443,2575 443,2575 443,2575 443,2575 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-15 1 1 446,0711 446,0711 446,0711 446,0711 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-16 1 1 445,4069 445,4069 445,4069 445,4069 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-17 1 1 447,1817 447,1817 447,1817 447,1817 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-18 1 1 446,8109 446,8109 446,8109 446,8109 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-21 1 1 443,5717 443,5717 443,5717 443,5717 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-22 1 1 447,876 447,876 447,876 447,876 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-23 1 1 446,4509 446,4509 446,4509 446,4509 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-25 1 1 448,2529 448,2529 448,2529 448,2529 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-28 1 1 448,7598 448,7598 448,7598 448,7598 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-29 1 1 447,5402 447,5402 447,5402 447,5402 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-11-30 1 1 447,2178 447,2178 447,2178 447,2178 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-01 1 1 449,8765 449,8765 449,8765 449,8765 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-02 1 1 450,5079 450,5079 450,5079 450,5079 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-05 1 1 447,8949 447,8949 447,8949 447,8949 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-06 1 1 445,641 445,641 445,641 445,641 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-07 1 1 448,8503 448,8503 448,8503 448,8503 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-08 1 1 448,4359 448,4359 448,4359 448,4359 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-12 1 1 444,6492 444,6492 444,6492 444,6492 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-13 1 1 445,0938 445,0938 445,0938 445,0938 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-14 1 1 444,0688 444,0688 444,0688 444,0688 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-15 1 1 445,6055 445,6055 445,6055 445,6055 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-16 1 1 446,4342 446,4342 446,4342 446,4342 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-19 1 1 443,4416 443,4416 443,4416 443,4416 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-20 1 1 441,459 441,459 441,459 441,459 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-21 1 1 449,6955 449,6955 449,6955 449,6955 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-22 1 1 448,8585 448,8585 448,8585 448,8585 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-23 1 1 449,4478 449,4478 449,4478 449,4478 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-27 1 1 450,5827 450,5827 450,5827 450,5827 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-28 1 1 440,8757 440,8757 440,8757 440,8757 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-29 1 1 445,7634 445,7634 445,7634 445,7634 684795 Nordea Fonder AB Nordea Nordamerikafond SEK 2005-12-30 1 1 441,8094 441,8094 441,8094 441,8094 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-03 1 1 111,3753 111,3753 111,3753 111,3753 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-04 1 1 111,5882 111,5882 111,5882 111,5882 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-05 1 1 111,2528 111,2528 111,2528 111,2528 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-07 1 1 111,7138 111,7138 111,7138 111,7138 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-10 1 1 111,8847 111,8847 111,8847 111,8847 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-11 1 1 111,9276 111,9276 111,9276 111,9276 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-12 1 1 111,818 111,818 111,818 111,818 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-13 1 1 112,0739 112,0739 112,0739 112,0739 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-14 1 1 112,1061 112,1061 112,1061 112,1061 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-17 1 1 112,1972 112,1972 112,1972 112,1972 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-18 1 1 112,1729 112,1729 112,1729 112,1729 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-19 1 1 112,4539 112,4539 112,4539 112,4539 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-20 1 1 112,1729 112,1729 112,1729 112,1729 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-21 1 1 112,286 112,286 112,286 112,286 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-24 1 1 112,604 112,604 112,604 112,604 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-25 1 1 112,6575 112,6575 112,6575 112,6575 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-26 1 1 112,4651 112,4651 112,4651 112,4651 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-27 1 1 112,3191 112,3191 112,3191 112,3191 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-28 1 1 112,604 112,604 112,604 112,604 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-01-31 1 1 112,6705 112,6705 112,6705 112,6705 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-01 1 1 112,7658 112,7658 112,7658 112,7658 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-02 1 1 112,8162 112,8162 112,8162 112,8162 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-03 1 1 112,6667 112,6667 112,6667 112,6667 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-04 1 1 112,935 112,935 112,935 112,935 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-07 1 1 113,0625 113,0625 113,0625 113,0625 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-08 1 1 113,0501 113,0501 113,0501 113,0501 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-09 1 1 113,169 113,169 113,169 113,169 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-10 1 1 113,3563 113,3563 113,3563 113,3563 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-11 1 1 113,3677 113,3677 113,3677 113,3677 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-14 1 1 113,2283 113,2283 113,2283 113,2283 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-15 1 1 113,1901 113,1901 113,1901 113,1901 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-16 1 1 113,2806 113,2806 113,2806 113,2806 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-17 1 1 113,0248 113,0248 113,0248 113,0248 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-18 1 1 112,5484 112,5484 112,5484 112,5484 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-21 1 1 112,4728 112,4728 112,4728 112,4728 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-22 1 1 112,3445 112,3445 112,3445 112,3445 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-23 1 1 112,6138 112,6138 112,6138 112,6138 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-24 1 1 112,4036 112,4036 112,4036 112,4036 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-25 1 1 112,3301 112,3301 112,3301 112,3301 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-02-28 1 1 112,4462 112,4462 112,4462 112,4462 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-01 1 1 112,3495 112,3495 112,3495 112,3495 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-02 1 1 112,1419 112,1419 112,1419 112,1419 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-03 1 1 112,431 112,431 112,431 112,431 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-04 1 1 112,4876 112,4876 112,4876 112,4876 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-07 1 1 112,7152 112,7152 112,7152 112,7152 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-08 1 1 112,8956 112,8956 112,8956 112,8956 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-09 1 1 112,6266 112,6266 112,6266 112,6266 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-10 1 1 112,5715 112,5715 112,5715 112,5715 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-11 1 1 112,3372 112,3372 112,3372 112,3372 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-14 1 1 112,3581 112,3581 112,3581 112,3581 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-15 1 1 112,6263 112,6263 112,6263 112,6263 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-16 1 1 112,5115 112,5115 112,5115 112,5115 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-17 1 1 112,6955 112,6955 112,6955 112,6955 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-18 1 1 112,6025 112,6025 112,6025 112,6025 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-21 1 1 112,5561 112,5561 112,5561 112,5561 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-22 1 1 112,6428 112,6428 112,6428 112,6428 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-23 1 1 112,6089 112,6089 112,6089 112,6089 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-24 1 1 112,6934 112,6934 112,6934 112,6934 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-29 1 1 112,7724 112,7724 112,7724 112,7724 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-30 1 1 112,8746 112,8746 112,8746 112,8746 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-03-31 1 1 113,0946 113,0946 113,0946 113,0946 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-01 1 1 113,3547 113,3547 113,3547 113,3547 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-04 1 1 113,3524 113,3524 113,3524 113,3524 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-05 1 1 113,4353 113,4353 113,4353 113,4353 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-06 1 1 113,4599 113,4599 113,4599 113,4599 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-07 1 1 113,5335 113,5335 113,5335 113,5335 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-08 1 1 113,3647 113,3647 113,3647 113,3647 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-11 1 1 113,4436 113,4436 113,4436 113,4436 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-12 1 1 113,5472 113,5472 113,5472 113,5472 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-13 1 1 113,8033 113,8033 113,8033 113,8033 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-14 1 1 113,8833 113,8833 113,8833 113,8833 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-15 1 1 114,1293 114,1293 114,1293 114,1293 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-18 1 1 114,1444 114,1444 114,1444 114,1444 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-19 1 1 114,1392 114,1392 114,1392 114,1392 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-20 1 1 114,1636 114,1636 114,1636 114,1636 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-21 1 1 114,1403 114,1403 114,1403 114,1403 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-22 1 1 114,3655 114,3655 114,3655 114,3655 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-25 1 1 114,5227 114,5227 114,5227 114,5227 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-26 1 1 114,6978 114,6978 114,6978 114,6978 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-27 1 1 114,8358 114,8358 114,8358 114,8358 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-28 1 1 114,9989 114,9989 114,9989 114,9989 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-04-29 1 1 114,9957 114,9957 114,9957 114,9957 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-02 1 1 115,1905 115,1905 115,1905 115,1905 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-03 1 1 115,1921 115,1921 115,1921 115,1921 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-04 1 1 114,8562 114,8562 114,8562 114,8562 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-06 1 1 114,5407 114,5407 114,5407 114,5407 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-09 1 1 114,6893 114,6893 114,6893 114,6893 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-10 1 1 115,168 115,168 115,168 115,168 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-11 1 1 115,3709 115,3709 115,3709 115,3709 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-12 1 1 115,2793 115,2793 115,2793 115,2793 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-13 1 1 115,6386 115,6386 115,6386 115,6386 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-16 1 1 115,6828 115,6828 115,6828 115,6828 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-17 1 1 115,6986 115,6986 115,6986 115,6986 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-18 1 1 116,0429 116,0429 116,0429 116,0429 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-19 1 1 115,9638 115,9638 115,9638 115,9638 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-20 1 1 115,6757 115,6757 115,6757 115,6757 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-23 1 1 115,7601 115,7601 115,7601 115,7601 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-24 1 1 115,9571 115,9571 115,9571 115,9571 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-25 1 1 116,0791 116,0791 116,0791 116,0791 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-26 1 1 115,8994 115,8994 115,8994 115,8994 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-27 1 1 115,9235 115,9235 115,9235 115,9235 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-30 1 1 115,8013 115,8013 115,8013 115,8013 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-05-31 1 1 116,1771 116,1771 116,1771 116,1771 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-01 1 1 116,3894 116,3894 116,3894 116,3894 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-02 1 1 116,5144 116,5144 116,5144 116,5144 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-03 1 1 116,9689 116,9689 116,9689 116,9689 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-07 1 1 116,9934 116,9934 116,9934 116,9934 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-08 1 1 117,3591 117,3591 117,3591 117,3591 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-09 1 1 117,3456 117,3456 117,3456 117,3456 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-10 1 1 117,3467 117,3467 117,3467 117,3467 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-13 1 1 117,2974 117,2974 117,2974 117,2974 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-14 1 1 117,1247 117,1247 117,1247 117,1247 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-15 1 1 116,7836 116,7836 116,7836 116,7836 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-16 1 1 116,5459 116,5459 116,5459 116,5459 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-17 1 1 116,8165 116,8165 116,8165 116,8165 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-20 1 1 116,7894 116,7894 116,7894 116,7894 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-21 1 1 117,4544 117,4544 117,4544 117,4544 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-22 1 1 117,9272 117,9272 117,9272 117,9272 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-23 1 1 117,8893 117,8893 117,8893 117,8893 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-27 1 1 118,0898 118,0898 118,0898 118,0898 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-28 1 1 117,8942 117,8942 117,8942 117,8942 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-29 1 1 118,0705 118,0705 118,0705 118,0705 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-06-30 1 1 118,1047 118,1047 118,1047 118,1047 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-01 1 1 118,1833 118,1833 118,1833 118,1833 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-04 1 1 117,9761 117,9761 117,9761 117,9761 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-05 1 1 117,7224 117,7224 117,7224 117,7224 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-06 1 1 117,7748 117,7748 117,7748 117,7748 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-07 1 1 117,9943 117,9943 117,9943 117,9943 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-08 1 1 118,0903 118,0903 118,0903 118,0903 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-11 1 1 117,8192 117,8192 117,8192 117,8192 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-12 1 1 117,7037 117,7037 117,7037 117,7037 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-13 1 1 117,5898 117,5898 117,5898 117,5898 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-14 1 1 117,4343 117,4343 117,4343 117,4343 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-15 1 1 117,3769 117,3769 117,3769 117,3769 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-18 1 1 117,5104 117,5104 117,5104 117,5104 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-19 1 1 117,4681 117,4681 117,4681 117,4681 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-20 1 1 117,4277 117,4277 117,4277 117,4277 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-21 1 1 117,5397 117,5397 117,5397 117,5397 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-22 1 1 117,7506 117,7506 117,7506 117,7506 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-25 1 1 117,946 117,946 117,946 117,946 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-26 1 1 117,8396 117,8396 117,8396 117,8396 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-27 1 1 118,0193 118,0193 118,0193 118,0193 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-28 1 1 117,9005 117,9005 117,9005 117,9005 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-07-29 1 1 117,7259 117,7259 117,7259 117,7259 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-01 1 1 117,3334 117,3334 117,3334 117,3334 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-02 1 1 117,0206 117,0206 117,0206 117,0206 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-03 1 1 116,8701 116,8701 116,8701 116,8701 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-04 1 1 117,0824 117,0824 117,0824 117,0824 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-05 1 1 116,7834 116,7834 116,7834 116,7834 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-08 1 1 116,7631 116,7631 116,7631 116,7631 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-09 1 1 116,7853 116,7853 116,7853 116,7853 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-10 1 1 116,9857 116,9857 116,9857 116,9857 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-11 1 1 117,0181 117,0181 117,0181 117,0181 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-12 1 1 117,1187 117,1187 117,1187 117,1187 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-15 1 1 117,2249 117,2249 117,2249 117,2249 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-16 1 1 117,2963 117,2963 117,2963 117,2963 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-17 1 1 117,3323 117,3323 117,3323 117,3323 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-18 1 1 117,2964 117,2964 117,2964 117,2964 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-19 1 1 117,2429 117,2429 117,2429 117,2429 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-22 1 1 117,4211 117,4211 117,4211 117,4211 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-23 1 1 117,7107 117,7107 117,7107 117,7107 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-24 1 1 117,6387 117,6387 117,6387 117,6387 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-25 1 1 117,8 117,8 117,8 117,8 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-26 1 1 117,87 117,87 117,87 117,87 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-29 1 1 117,8604 117,8604 117,8604 117,8604 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-30 1 1 117,7972 117,7972 117,7972 117,7972 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-08-31 1 1 118,0674 118,0674 118,0674 118,0674 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-01 1 1 118,2705 118,2705 118,2705 118,2705 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-02 1 1 118,3733 118,3733 118,3733 118,3733 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-05 1 1 118,4814 118,4814 118,4814 118,4814 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-06 1 1 118,3068 118,3068 118,3068 118,3068 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-07 1 1 118,3089 118,3089 118,3089 118,3089 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-08 1 1 118,4534 118,4534 118,4534 118,4534 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-09 1 1 118,6591 118,6591 118,6591 118,6591 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-12 1 1 118,3263 118,3263 118,3263 118,3263 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-13 1 1 118,3297 118,3297 118,3297 118,3297 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-14 1 1 118,281 118,281 118,281 118,281 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-15 1 1 118,1606 118,1606 118,1606 118,1606 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-16 1 1 118,0562 118,0562 118,0562 118,0562 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-19 1 1 118,0597 118,0597 118,0597 118,0597 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-20 1 1 118,254 118,254 118,254 118,254 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-21 1 1 118,5414 118,5414 118,5414 118,5414 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-22 1 1 118,5164 118,5164 118,5164 118,5164 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-23 1 1 118,2991 118,2991 118,2991 118,2991 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-26 1 1 118,096 118,096 118,096 118,096 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-27 1 1 118,1418 118,1418 118,1418 118,1418 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-28 1 1 117,9713 117,9713 117,9713 117,9713 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-29 1 1 117,815 117,815 117,815 117,815 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-09-30 1 1 117,8553 117,8553 117,8553 117,8553 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-03 1 1 117,62 117,62 117,62 117,62 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-04 1 1 117,5843 117,5843 117,5843 117,5843 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-05 1 1 117,5949 117,5949 117,5949 117,5949 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-06 1 1 117,4637 117,4637 117,4637 117,4637 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-07 1 1 117,4845 117,4845 117,4845 117,4845 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-10 1 1 117,4964 117,4964 117,4964 117,4964 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-11 1 1 117,4476 117,4476 117,4476 117,4476 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-12 1 1 117,2792 117,2792 117,2792 117,2792 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-13 1 1 117,195 117,195 117,195 117,195 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-14 1 1 117,2159 117,2159 117,2159 117,2159 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-17 1 1 117,1966 117,1966 117,1966 117,1966 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-18 1 1 117,209 117,209 117,209 117,209 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-19 1 1 117,376 117,376 117,376 117,376 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-20 1 1 117,1884 117,1884 117,1884 117,1884 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-21 1 1 117,4757 117,4757 117,4757 117,4757 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-24 1 1 117,525 117,525 117,525 117,525 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-25 1 1 117,2773 117,2773 117,2773 117,2773 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-26 1 1 116,8865 116,8865 116,8865 116,8865 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-27 1 1 116,9455 116,9455 116,9455 116,9455 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-28 1 1 116,8727 116,8727 116,8727 116,8727 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-10-31 1 1 116,7607 116,7607 116,7607 116,7607 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-01 1 1 116,7536 116,7536 116,7536 116,7536 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-02 1 1 116,4988 116,4988 116,4988 116,4988 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-03 1 1 116,3528 116,3528 116,3528 116,3528 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-04 1 1 116,0904 116,0904 116,0904 116,0904 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-07 1 1 116,0112 116,0112 116,0112 116,0112 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-08 1 1 116,1076 116,1076 116,1076 116,1076 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-09 1 1 115,9893 115,9893 115,9893 115,9893 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-10 1 1 115,9755 115,9755 115,9755 115,9755 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-11 1 1 116,1118 116,1118 116,1118 116,1118 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-14 1 1 116,2423 116,2423 116,2423 116,2423 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-15 1 1 116,1036 116,1036 116,1036 116,1036 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-16 1 1 116,4283 116,4283 116,4283 116,4283 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-17 1 1 116,3393 116,3393 116,3393 116,3393 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-18 1 1 116,018 116,018 116,018 116,018 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-21 1 1 116,1534 116,1534 116,1534 116,1534 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-22 1 1 116,2811 116,2811 116,2811 116,2811 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-23 1 1 116,3493 116,3493 116,3493 116,3493 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-24 1 1 116,646 116,646 116,646 116,646 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-25 1 1 116,515 116,515 116,515 116,515 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-28 1 1 116,568 116,568 116,568 116,568 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-29 1 1 116,5219 116,5219 116,5219 116,5219 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-11-30 1 1 116,34 116,34 116,34 116,34 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-01 1 1 110,7498 110,7498 110,7498 110,7498 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-02 1 1 110,4877 110,4877 110,4877 110,4877 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-05 1 1 110,2977 110,2977 110,2977 110,2977 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-06 1 1 110,2752 110,2752 110,2752 110,2752 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-07 1 1 110,3969 110,3969 110,3969 110,3969 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-08 1 1 110,3338 110,3338 110,3338 110,3338 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-12 1 1 110,243 110,243 110,243 110,243 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-13 1 1 110,35 110,35 110,35 110,35 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-14 1 1 110,5535 110,5535 110,5535 110,5535 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-15 1 1 110,672 110,672 110,672 110,672 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-16 1 1 110,7306 110,7306 110,7306 110,7306 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-19 1 1 110,8627 110,8627 110,8627 110,8627 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-20 1 1 110,7863 110,7863 110,7863 110,7863 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-21 1 1 110,5987 110,5987 110,5987 110,5987 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-22 1 1 110,4979 110,4979 110,4979 110,4979 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-23 1 1 110,607 110,607 110,607 110,607 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-27 1 1 110,8121 110,8121 110,8121 110,8121 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-28 1 1 110,8122 110,8122 110,8122 110,8122 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-29 1 1 110,7685 110,7685 110,7685 110,7685 648964 Nordea Fonder AB Nordea Obligationsfond SEK 2005-12-30 1 1 110,8627 110,8627 110,8627 110,8627 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-03 1 1 54,2723 54,2723 54,2723 54,2723 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-04 1 1 54,4513 54,4513 54,4513 54,4513 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-05 1 1 54,1119 54,1119 54,1119 54,1119 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-07 1 1 54,2089 54,2089 54,2089 54,2089 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-10 1 1 54,5569 54,5569 54,5569 54,5569 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-11 1 1 54,2648 54,2648 54,2648 54,2648 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-12 1 1 53,8739 53,8739 53,8739 53,8739 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-13 1 1 54,0924 54,0924 54,0924 54,0924 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-14 1 1 54,4221 54,4221 54,4221 54,4221 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-17 1 1 54,8026 54,8026 54,8026 54,8026 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-18 1 1 54,7273 54,7273 54,7273 54,7273 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-19 1 1 54,9384 54,9384 54,9384 54,9384 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-20 1 1 54,6451 54,6451 54,6451 54,6451 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-21 1 1 54,5306 54,5306 54,5306 54,5306 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-24 1 1 54,3605 54,3605 54,3605 54,3605 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-25 1 1 54,591 54,591 54,591 54,591 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-26 1 1 54,781 54,781 54,781 54,781 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-27 1 1 54,9099 54,9099 54,9099 54,9099 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-28 1 1 54,8931 54,8931 54,8931 54,8931 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-01-31 1 1 55,0822 55,0822 55,0822 55,0822 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-01 1 1 55,1602 55,1602 55,1602 55,1602 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-02 1 1 55,3481 55,3481 55,3481 55,3481 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-03 1 1 55,6123 55,6123 55,6123 55,6123 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-04 1 1 56,1323 56,1323 56,1323 56,1323 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-07 1 1 56,812 56,812 56,812 56,812 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-08 1 1 57,0247 57,0247 57,0247 57,0247 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-09 1 1 56,8741 56,8741 56,8741 56,8741 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-10 1 1 56,5771 56,5771 56,5771 56,5771 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-11 1 1 56,7339 56,7339 56,7339 56,7339 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-14 1 1 56,9897 56,9897 56,9897 56,9897 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-15 1 1 57,0177 57,0177 57,0177 57,0177 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-16 1 1 56,8393 56,8393 56,8393 56,8393 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-17 1 1 56,844 56,844 56,844 56,844 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-18 1 1 56,5973 56,5973 56,5973 56,5973 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-21 1 1 56,7897 56,7897 56,7897 56,7897 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-22 1 1 56,2349 56,2349 56,2349 56,2349 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-23 1 1 56,0012 56,0012 56,0012 56,0012 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-24 1 1 56,0449 56,0449 56,0449 56,0449 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-25 1 1 56,4169 56,4169 56,4169 56,4169 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-02-28 1 1 56,6091 56,6091 56,6091 56,6091 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-01 1 1 56,6007 56,6007 56,6007 56,6007 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-02 1 1 56,6904 56,6904 56,6904 56,6904 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-03 1 1 56,9609 56,9609 56,9609 56,9609 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-04 1 1 56,935 56,935 56,935 56,935 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-07 1 1 56,9588 56,9588 56,9588 56,9588 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-08 1 1 56,5485 56,5485 56,5485 56,5485 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-09 1 1 56,2693 56,2693 56,2693 56,2693 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-10 1 1 55,9405 55,9405 55,9405 55,9405 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-11 1 1 56,0634 56,0634 56,0634 56,0634 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-14 1 1 56,0158 56,0158 56,0158 56,0158 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-15 1 1 56,3306 56,3306 56,3306 56,3306 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-16 1 1 55,638 55,638 55,638 55,638 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-17 1 1 55,6914 55,6914 55,6914 55,6914 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-18 1 1 55,9301 55,9301 55,9301 55,9301 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-21 1 1 55,98 55,98 55,98 55,98 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-22 1 1 56,0034 56,0034 56,0034 56,0034 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-23 1 1 55,943 55,943 55,943 55,943 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-24 1 1 56,1018 56,1018 56,1018 56,1018 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-29 1 1 56,2071 56,2071 56,2071 56,2071 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-30 1 1 55,8111 55,8111 55,8111 55,8111 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-03-31 1 1 56,4071 56,4071 56,4071 56,4071 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-01 1 1 56,7502 56,7502 56,7502 56,7502 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-04 1 1 56,811 56,811 56,811 56,811 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-05 1 1 57,024 57,024 57,024 57,024 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-06 1 1 56,9781 56,9781 56,9781 56,9781 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-07 1 1 56,9568 56,9568 56,9568 56,9568 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-08 1 1 57,3058 57,3058 57,3058 57,3058 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-11 1 1 56,836 56,836 56,836 56,836 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-12 1 1 56,8065 56,8065 56,8065 56,8065 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-13 1 1 56,9954 56,9954 56,9954 56,9954 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-14 1 1 57,0599 57,0599 57,0599 57,0599 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-15 1 1 56,3354 56,3354 56,3354 56,3354 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-18 1 1 55,4691 55,4691 55,4691 55,4691 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-19 1 1 55,9004 55,9004 55,9004 55,9004 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-20 1 1 56,124 56,124 56,124 56,124 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-21 1 1 55,7919 55,7919 55,7919 55,7919 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-22 1 1 56,2569 56,2569 56,2569 56,2569 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-25 1 1 56,3827 56,3827 56,3827 56,3827 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-26 1 1 56,269 56,269 56,269 56,269 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-27 1 1 55,8959 55,8959 55,8959 55,8959 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-28 1 1 55,9357 55,9357 55,9357 55,9357 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-04-29 1 1 55,9881 55,9881 55,9881 55,9881 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-02 1 1 56,548 56,548 56,548 56,548 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-03 1 1 56,6865 56,6865 56,6865 56,6865 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-04 1 1 56,4682 56,4682 56,4682 56,4682 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-06 1 1 57,3525 57,3525 57,3525 57,3525 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-09 1 1 57,2859 57,2859 57,2859 57,2859 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-10 1 1 57,2512 57,2512 57,2512 57,2512 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-11 1 1 57,1734 57,1734 57,1734 57,1734 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-12 1 1 57,352 57,352 57,352 57,352 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-13 1 1 57,4741 57,4741 57,4741 57,4741 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-16 1 1 57,4416 57,4416 57,4416 57,4416 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-17 1 1 57,632 57,632 57,632 57,632 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-18 1 1 57,9825 57,9825 57,9825 57,9825 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-19 1 1 58,1497 58,1497 58,1497 58,1497 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-20 1 1 58,155 58,155 58,155 58,155 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-23 1 1 58,1106 58,1106 58,1106 58,1106 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-24 1 1 58,2192 58,2192 58,2192 58,2192 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-25 1 1 58,402 58,402 58,402 58,402 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-26 1 1 58,6069 58,6069 58,6069 58,6069 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-27 1 1 58,8483 58,8483 58,8483 58,8483 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-30 1 1 59,0002 59,0002 59,0002 59,0002 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-05-31 1 1 59,2824 59,2824 59,2824 59,2824 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-01 1 1 59,466 59,466 59,466 59,466 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-02 1 1 59,719 59,719 59,719 59,719 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-03 1 1 59,9466 59,9466 59,9466 59,9466 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-07 1 1 60,0146 60,0146 60,0146 60,0146 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-08 1 1 60,2101 60,2101 60,2101 60,2101 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-09 1 1 60,3227 60,3227 60,3227 60,3227 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-10 1 1 60,9739 60,9739 60,9739 60,9739 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-13 1 1 61,4117 61,4117 61,4117 61,4117 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-14 1 1 61,5872 61,5872 61,5872 61,5872 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-15 1 1 61,6396 61,6396 61,6396 61,6396 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-16 1 1 61,6211 61,6211 61,6211 61,6211 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-17 1 1 61,6444 61,6444 61,6444 61,6444 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-20 1 1 61,5478 61,5478 61,5478 61,5478 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-21 1 1 61,8996 61,8996 61,8996 61,8996 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-22 1 1 62,2901 62,2901 62,2901 62,2901 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-23 1 1 62,8319 62,8319 62,8319 62,8319 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-27 1 1 62,1757 62,1757 62,1757 62,1757 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-28 1 1 62,4658 62,4658 62,4658 62,4658 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-29 1 1 62,8348 62,8348 62,8348 62,8348 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-06-30 1 1 62,9182 62,9182 62,9182 62,9182 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-01 1 1 63,0331 63,0331 63,0331 63,0331 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-04 1 1 63,3547 63,3547 63,3547 63,3547 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-05 1 1 63,1407 63,1407 63,1407 63,1407 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-06 1 1 63,3273 63,3273 63,3273 63,3273 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-07 1 1 62,9386 62,9386 62,9386 62,9386 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-08 1 1 63,3551 63,3551 63,3551 63,3551 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-11 1 1 63,8127 63,8127 63,8127 63,8127 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-12 1 1 63,5893 63,5893 63,5893 63,5893 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-13 1 1 63,4844 63,4844 63,4844 63,4844 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-14 1 1 63,6417 63,6417 63,6417 63,6417 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-15 1 1 63,509 63,509 63,509 63,509 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-18 1 1 63,4359 63,4359 63,4359 63,4359 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-19 1 1 63,6145 63,6145 63,6145 63,6145 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-20 1 1 63,5133 63,5133 63,5133 63,5133 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-21 1 1 63,6936 63,6936 63,6936 63,6936 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-22 1 1 63,6384 63,6384 63,6384 63,6384 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-25 1 1 63,8916 63,8916 63,8916 63,8916 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-26 1 1 64,0961 64,0961 64,0961 64,0961 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-27 1 1 64,0578 64,0578 64,0578 64,0578 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-28 1 1 64,2153 64,2153 64,2153 64,2153 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-07-29 1 1 64,2654 64,2654 64,2654 64,2654 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-01 1 1 63,8617 63,8617 63,8617 63,8617 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-02 1 1 63,9686 63,9686 63,9686 63,9686 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-03 1 1 63,8986 63,8986 63,8986 63,8986 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-04 1 1 63,5186 63,5186 63,5186 63,5186 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-05 1 1 63,238 63,238 63,238 63,238 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-08 1 1 63,1239 63,1239 63,1239 63,1239 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-09 1 1 63,2749 63,2749 63,2749 63,2749 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-10 1 1 63,7489 63,7489 63,7489 63,7489 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-11 1 1 63,6546 63,6546 63,6546 63,6546 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-12 1 1 63,7131 63,7131 63,7131 63,7131 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-15 1 1 63,8132 63,8132 63,8132 63,8132 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-16 1 1 63,8636 63,8636 63,8636 63,8636 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-17 1 1 63,6241 63,6241 63,6241 63,6241 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-18 1 1 63,5953 63,5953 63,5953 63,5953 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-19 1 1 63,9301 63,9301 63,9301 63,9301 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-22 1 1 64,1536 64,1536 64,1536 64,1536 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-23 1 1 64,0549 64,0549 64,0549 64,0549 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-24 1 1 63,5989 63,5989 63,5989 63,5989 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-25 1 1 63,3642 63,3642 63,3642 63,3642 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-26 1 1 63,1594 63,1594 63,1594 63,1594 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-29 1 1 63,1146 63,1146 63,1146 63,1146 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-30 1 1 63,5588 63,5588 63,5588 63,5588 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-08-31 1 1 63,567 63,567 63,567 63,567 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-01 1 1 63,668 63,668 63,668 63,668 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-02 1 1 63,3348 63,3348 63,3348 63,3348 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-05 1 1 63,4273 63,4273 63,4273 63,4273 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-06 1 1 63,7796 63,7796 63,7796 63,7796 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-07 1 1 64,0577 64,0577 64,0577 64,0577 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-08 1 1 64,2166 64,2166 64,2166 64,2166 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-09 1 1 64,43 64,43 64,43 64,43 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-12 1 1 64,7795 64,7795 64,7795 64,7795 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-13 1 1 64,8886 64,8886 64,8886 64,8886 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-14 1 1 64,8862 64,8862 64,8862 64,8862 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-15 1 1 65,0813 65,0813 65,0813 65,0813 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-16 1 1 65,1307 65,1307 65,1307 65,1307 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-19 1 1 65,4462 65,4462 65,4462 65,4462 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-20 1 1 65,7336 65,7336 65,7336 65,7336 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-21 1 1 65,2293 65,2293 65,2293 65,2293 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-22 1 1 65,2116 65,2116 65,2116 65,2116 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-23 1 1 65,4628 65,4628 65,4628 65,4628 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-26 1 1 66,0115 66,0115 66,0115 66,0115 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-27 1 1 66,118 66,118 66,118 66,118 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-28 1 1 66,3564 66,3564 66,3564 66,3564 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-29 1 1 66,2827 66,2827 66,2827 66,2827 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-09-30 1 1 66,4362 66,4362 66,4362 66,4362 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-03 1 1 66,6509 66,6509 66,6509 66,6509 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-04 1 1 66,8021 66,8021 66,8021 66,8021 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-05 1 1 65,2955 65,2955 65,2955 65,2955 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-06 1 1 64,08 64,08 64,08 64,08 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-07 1 1 64,0975 64,0975 64,0975 64,0975 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-10 1 1 64,3746 64,3746 64,3746 64,3746 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-11 1 1 64,6967 64,6967 64,6967 64,6967 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-12 1 1 64,4079 64,4079 64,4079 64,4079 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-13 1 1 64,0698 64,0698 64,0698 64,0698 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-14 1 1 64,1693 64,1693 64,1693 64,1693 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-17 1 1 64,3872 64,3872 64,3872 64,3872 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-18 1 1 64,482 64,482 64,482 64,482 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-19 1 1 63,961 63,961 63,961 63,961 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-20 1 1 64,462 64,462 64,462 64,462 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-21 1 1 64,1106 64,1106 64,1106 64,1106 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-24 1 1 64,6777 64,6777 64,6777 64,6777 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-25 1 1 64,5893 64,5893 64,5893 64,5893 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-26 1 1 64,524 64,524 64,524 64,524 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-27 1 1 64,2561 64,2561 64,2561 64,2561 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-28 1 1 64,2341 64,2341 64,2341 64,2341 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-10-31 1 1 65,1585 65,1585 65,1585 65,1585 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-01 1 1 65,6654 65,6654 65,6654 65,6654 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-02 1 1 65,9323 65,9323 65,9323 65,9323 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-03 1 1 66,6603 66,6603 66,6603 66,6603 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-04 1 1 66,8343 66,8343 66,8343 66,8343 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-07 1 1 67,2427 67,2427 67,2427 67,2427 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-08 1 1 67,1153 67,1153 67,1153 67,1153 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-09 1 1 67,1214 67,1214 67,1214 67,1214 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-10 1 1 67,3828 67,3828 67,3828 67,3828 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-11 1 1 67,6273 67,6273 67,6273 67,6273 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-14 1 1 67,643 67,643 67,643 67,643 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-15 1 1 67,7085 67,7085 67,7085 67,7085 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-16 1 1 67,7386 67,7386 67,7386 67,7386 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-17 1 1 67,9955 67,9955 67,9955 67,9955 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-18 1 1 67,9852 67,9852 67,9852 67,9852 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-21 1 1 67,6349 67,6349 67,6349 67,6349 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-22 1 1 67,6754 67,6754 67,6754 67,6754 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-23 1 1 67,7292 67,7292 67,7292 67,7292 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-24 1 1 67,8551 67,8551 67,8551 67,8551 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-25 1 1 67,8335 67,8335 67,8335 67,8335 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-28 1 1 67,9383 67,9383 67,9383 67,9383 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-29 1 1 67,8632 67,8632 67,8632 67,8632 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-11-30 1 1 67,7275 67,7275 67,7275 67,7275 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-01 1 1 68,1873 68,1873 68,1873 68,1873 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-02 1 1 68,3265 68,3265 68,3265 68,3265 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-05 1 1 68,257 68,257 68,257 68,257 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-06 1 1 68,2549 68,2549 68,2549 68,2549 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-07 1 1 68,7831 68,7831 68,7831 68,7831 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-08 1 1 68,6398 68,6398 68,6398 68,6398 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-12 1 1 68,5992 68,5992 68,5992 68,5992 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-13 1 1 68,6842 68,6842 68,6842 68,6842 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-14 1 1 68,5711 68,5711 68,5711 68,5711 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-15 1 1 68,6356 68,6356 68,6356 68,6356 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-16 1 1 68,7544 68,7544 68,7544 68,7544 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-19 1 1 68,7721 68,7721 68,7721 68,7721 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-20 1 1 68,6392 68,6392 68,6392 68,6392 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-21 1 1 69,3229 69,3229 69,3229 69,3229 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-22 1 1 69,3459 69,3459 69,3459 69,3459 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-23 1 1 69,4857 69,4857 69,4857 69,4857 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-27 1 1 69,726 69,726 69,726 69,726 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-28 1 1 69,1097 69,1097 69,1097 69,1097 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-29 1 1 69,3838 69,3838 69,3838 69,3838 502633 Nordea Fonder AB Nordea Premiepensionsfond 1938-44 SEK 2005-12-30 1 1 69,1047 69,1047 69,1047 69,1047 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-03 1 1 54,6951 54,6951 54,6951 54,6951 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-04 1 1 54,9206 54,9206 54,9206 54,9206 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-05 1 1 54,5437 54,5437 54,5437 54,5437 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-07 1 1 54,6667 54,6667 54,6667 54,6667 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-10 1 1 55,1169 55,1169 55,1169 55,1169 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-11 1 1 54,8147 54,8147 54,8147 54,8147 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-12 1 1 54,4526 54,4526 54,4526 54,4526 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-13 1 1 54,5877 54,5877 54,5877 54,5877 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-14 1 1 54,9098 54,9098 54,9098 54,9098 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-17 1 1 55,3913 55,3913 55,3913 55,3913 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-18 1 1 55,2531 55,2531 55,2531 55,2531 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-19 1 1 55,4518 55,4518 55,4518 55,4518 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-20 1 1 55,1392 55,1392 55,1392 55,1392 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-21 1 1 54,9681 54,9681 54,9681 54,9681 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-24 1 1 54,6249 54,6249 54,6249 54,6249 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-25 1 1 55,0144 55,0144 55,0144 55,0144 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-26 1 1 55,3145 55,3145 55,3145 55,3145 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-27 1 1 55,4051 55,4051 55,4051 55,4051 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-28 1 1 55,4007 55,4007 55,4007 55,4007 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-01-31 1 1 55,7026 55,7026 55,7026 55,7026 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-01 1 1 55,7122 55,7122 55,7122 55,7122 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-02 1 1 55,9547 55,9547 55,9547 55,9547 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-03 1 1 56,1866 56,1866 56,1866 56,1866 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-04 1 1 56,6911 56,6911 56,6911 56,6911 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-07 1 1 57,4123 57,4123 57,4123 57,4123 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-08 1 1 57,68 57,68 57,68 57,68 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-09 1 1 57,5336 57,5336 57,5336 57,5336 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-10 1 1 57,1877 57,1877 57,1877 57,1877 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-11 1 1 57,3441 57,3441 57,3441 57,3441 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-14 1 1 57,6543 57,6543 57,6543 57,6543 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-15 1 1 57,6473 57,6473 57,6473 57,6473 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-16 1 1 57,3452 57,3452 57,3452 57,3452 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-17 1 1 57,4038 57,4038 57,4038 57,4038 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-18 1 1 57,2195 57,2195 57,2195 57,2195 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-21 1 1 57,4681 57,4681 57,4681 57,4681 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-22 1 1 56,7655 56,7655 56,7655 56,7655 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-23 1 1 56,3471 56,3471 56,3471 56,3471 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-24 1 1 56,3568 56,3568 56,3568 56,3568 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-25 1 1 57,0421 57,0421 57,0421 57,0421 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-02-28 1 1 57,226 57,226 57,226 57,226 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-01 1 1 57,3647 57,3647 57,3647 57,3647 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-02 1 1 57,5809 57,5809 57,5809 57,5809 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-03 1 1 57,7657 57,7657 57,7657 57,7657 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-04 1 1 57,7813 57,7813 57,7813 57,7813 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-07 1 1 57,8421 57,8421 57,8421 57,8421 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-08 1 1 57,4102 57,4102 57,4102 57,4102 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-09 1 1 57,1631 57,1631 57,1631 57,1631 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-10 1 1 56,8209 56,8209 56,8209 56,8209 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-11 1 1 56,9379 56,9379 56,9379 56,9379 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-14 1 1 56,8153 56,8153 56,8153 56,8153 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-15 1 1 57,2742 57,2742 57,2742 57,2742 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-16 1 1 56,4322 56,4322 56,4322 56,4322 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-17 1 1 56,3292 56,3292 56,3292 56,3292 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-18 1 1 56,7345 56,7345 56,7345 56,7345 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-21 1 1 56,8513 56,8513 56,8513 56,8513 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-22 1 1 56,8766 56,8766 56,8766 56,8766 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-23 1 1 56,7294 56,7294 56,7294 56,7294 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-24 1 1 56,9494 56,9494 56,9494 56,9494 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-29 1 1 57,0947 57,0947 57,0947 57,0947 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-30 1 1 56,5494 56,5494 56,5494 56,5494 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-03-31 1 1 57,3006 57,3006 57,3006 57,3006 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-01 1 1 57,627 57,627 57,627 57,627 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-04 1 1 57,5453 57,5453 57,5453 57,5453 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-05 1 1 57,9226 57,9226 57,9226 57,9226 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-06 1 1 57,9661 57,9661 57,9661 57,9661 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-07 1 1 57,893 57,893 57,893 57,893 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-08 1 1 58,3913 58,3913 58,3913 58,3913 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-11 1 1 57,7985 57,7985 57,7985 57,7985 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-12 1 1 57,6572 57,6572 57,6572 57,6572 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-13 1 1 57,9325 57,9325 57,9325 57,9325 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-14 1 1 58,0349 58,0349 58,0349 58,0349 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-15 1 1 57,116 57,116 57,116 57,116 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-18 1 1 55,8575 55,8575 55,8575 55,8575 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-19 1 1 56,3072 56,3072 56,3072 56,3072 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-20 1 1 56,3903 56,3903 56,3903 56,3903 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-21 1 1 55,9174 55,9174 55,9174 55,9174 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-22 1 1 56,4697 56,4697 56,4697 56,4697 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-25 1 1 56,616 56,616 56,616 56,616 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-26 1 1 56,4269 56,4269 56,4269 56,4269 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-27 1 1 55,8627 55,8627 55,8627 55,8627 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-28 1 1 55,8988 55,8988 55,8988 55,8988 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-04-29 1 1 55,9844 55,9844 55,9844 55,9844 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-02 1 1 56,6047 56,6047 56,6047 56,6047 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-03 1 1 56,7193 56,7193 56,7193 56,7193 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-04 1 1 56,4094 56,4094 56,4094 56,4094 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-06 1 1 57,6055 57,6055 57,6055 57,6055 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-09 1 1 57,5061 57,5061 57,5061 57,5061 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-10 1 1 57,4615 57,4615 57,4615 57,4615 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-11 1 1 57,3153 57,3153 57,3153 57,3153 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-12 1 1 57,7458 57,7458 57,7458 57,7458 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-13 1 1 57,6698 57,6698 57,6698 57,6698 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-16 1 1 57,6098 57,6098 57,6098 57,6098 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-17 1 1 57,8149 57,8149 57,8149 57,8149 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-18 1 1 58,3185 58,3185 58,3185 58,3185 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-19 1 1 58,7065 58,7065 58,7065 58,7065 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-20 1 1 58,7536 58,7536 58,7536 58,7536 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-23 1 1 58,722 58,722 58,722 58,722 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-24 1 1 58,8165 58,8165 58,8165 58,8165 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-25 1 1 58,9011 58,9011 58,9011 58,9011 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-26 1 1 59,2293 59,2293 59,2293 59,2293 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-27 1 1 59,4962 59,4962 59,4962 59,4962 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-30 1 1 59,6532 59,6532 59,6532 59,6532 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-05-31 1 1 59,9705 59,9705 59,9705 59,9705 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-01 1 1 60,0927 60,0927 60,0927 60,0927 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-02 1 1 60,3921 60,3921 60,3921 60,3921 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-03 1 1 60,4923 60,4923 60,4923 60,4923 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-07 1 1 60,6317 60,6317 60,6317 60,6317 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-08 1 1 60,8557 60,8557 60,8557 60,8557 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-09 1 1 60,9645 60,9645 60,9645 60,9645 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-10 1 1 61,7733 61,7733 61,7733 61,7733 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-13 1 1 62,2454 62,2454 62,2454 62,2454 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-14 1 1 62,443 62,443 62,443 62,443 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-15 1 1 62,562 62,562 62,562 62,562 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-16 1 1 62,5375 62,5375 62,5375 62,5375 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-17 1 1 62,5545 62,5545 62,5545 62,5545 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-20 1 1 62,4338 62,4338 62,4338 62,4338 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-21 1 1 62,8504 62,8504 62,8504 62,8504 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-22 1 1 63,3 63,3 63,3 63,3 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-23 1 1 64,0527 64,0527 64,0527 64,0527 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-27 1 1 62,8629 62,8629 62,8629 62,8629 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-28 1 1 63,2612 63,2612 63,2612 63,2612 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-29 1 1 63,8891 63,8891 63,8891 63,8891 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-06-30 1 1 63,8905 63,8905 63,8905 63,8905 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-01 1 1 64,016 64,016 64,016 64,016 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-04 1 1 64,6227 64,6227 64,6227 64,6227 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-05 1 1 64,2841 64,2841 64,2841 64,2841 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-06 1 1 64,5613 64,5613 64,5613 64,5613 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-07 1 1 63,7599 63,7599 63,7599 63,7599 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-08 1 1 64,3119 64,3119 64,3119 64,3119 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-11 1 1 65,2723 65,2723 65,2723 65,2723 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-12 1 1 64,8583 64,8583 64,8583 64,8583 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-13 1 1 64,7663 64,7663 64,7663 64,7663 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-14 1 1 65,1178 65,1178 65,1178 65,1178 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-15 1 1 65,1761 65,1761 65,1761 65,1761 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-18 1 1 64,9504 64,9504 64,9504 64,9504 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-19 1 1 65,3572 65,3572 65,3572 65,3572 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-20 1 1 65,3069 65,3069 65,3069 65,3069 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-21 1 1 65,5979 65,5979 65,5979 65,5979 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-22 1 1 65,4299 65,4299 65,4299 65,4299 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-25 1 1 65,602 65,602 65,602 65,602 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-26 1 1 65,9686 65,9686 65,9686 65,9686 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-27 1 1 66,0023 66,0023 66,0023 66,0023 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-28 1 1 66,1456 66,1456 66,1456 66,1456 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-07-29 1 1 66,2736 66,2736 66,2736 66,2736 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-01 1 1 65,8117 65,8117 65,8117 65,8117 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-02 1 1 65,9655 65,9655 65,9655 65,9655 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-03 1 1 65,9209 65,9209 65,9209 65,9209 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-04 1 1 65,2138 65,2138 65,2138 65,2138 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-05 1 1 64,7753 64,7753 64,7753 64,7753 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-08 1 1 64,6585 64,6585 64,6585 64,6585 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-09 1 1 64,8354 64,8354 64,8354 64,8354 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-10 1 1 65,5853 65,5853 65,5853 65,5853 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-11 1 1 65,2777 65,2777 65,2777 65,2777 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-12 1 1 65,357 65,357 65,357 65,357 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-15 1 1 65,3987 65,3987 65,3987 65,3987 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-16 1 1 65,6767 65,6767 65,6767 65,6767 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-17 1 1 65,1564 65,1564 65,1564 65,1564 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-18 1 1 65,3258 65,3258 65,3258 65,3258 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-19 1 1 65,816 65,816 65,816 65,816 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-22 1 1 66,032 66,032 66,032 66,032 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-23 1 1 65,7309 65,7309 65,7309 65,7309 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-24 1 1 65,0523 65,0523 65,0523 65,0523 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-25 1 1 64,7494 64,7494 64,7494 64,7494 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-26 1 1 64,4386 64,4386 64,4386 64,4386 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-29 1 1 64,296 64,296 64,296 64,296 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-30 1 1 64,9918 64,9918 64,9918 64,9918 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-08-31 1 1 64,9785 64,9785 64,9785 64,9785 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-01 1 1 65,0917 65,0917 65,0917 65,0917 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-02 1 1 64,5514 64,5514 64,5514 64,5514 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-05 1 1 64,632 64,632 64,632 64,632 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-06 1 1 65,2182 65,2182 65,2182 65,2182 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-07 1 1 65,7115 65,7115 65,7115 65,7115 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-08 1 1 65,7855 65,7855 65,7855 65,7855 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-09 1 1 66,1126 66,1126 66,1126 66,1126 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-12 1 1 66,7224 66,7224 66,7224 66,7224 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-13 1 1 66,8253 66,8253 66,8253 66,8253 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-14 1 1 66,8034 66,8034 66,8034 66,8034 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-15 1 1 67,0144 67,0144 67,0144 67,0144 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-16 1 1 67,1079 67,1079 67,1079 67,1079 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-19 1 1 67,4975 67,4975 67,4975 67,4975 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-20 1 1 67,6632 67,6632 67,6632 67,6632 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-21 1 1 66,9337 66,9337 66,9337 66,9337 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-22 1 1 66,7912 66,7912 66,7912 66,7912 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-23 1 1 67,2994 67,2994 67,2994 67,2994 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-26 1 1 68,2535 68,2535 68,2535 68,2535 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-27 1 1 68,3835 68,3835 68,3835 68,3835 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-28 1 1 68,8887 68,8887 68,8887 68,8887 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-29 1 1 68,8824 68,8824 68,8824 68,8824 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-09-30 1 1 69,0003 69,0003 69,0003 69,0003 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-03 1 1 69,3875 69,3875 69,3875 69,3875 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-04 1 1 69,5959 69,5959 69,5959 69,5959 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-05 1 1 68,2916 68,2916 68,2916 68,2916 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-06 1 1 66,6934 66,6934 66,6934 66,6934 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-07 1 1 66,7182 66,7182 66,7182 66,7182 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-10 1 1 67,0023 67,0023 67,0023 67,0023 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-11 1 1 67,5088 67,5088 67,5088 67,5088 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-12 1 1 67,1618 67,1618 67,1618 67,1618 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-13 1 1 66,7806 66,7806 66,7806 66,7806 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-14 1 1 66,9173 66,9173 66,9173 66,9173 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-17 1 1 67,1468 67,1468 67,1468 67,1468 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-18 1 1 67,2164 67,2164 67,2164 67,2164 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-19 1 1 66,3166 66,3166 66,3166 66,3166 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-20 1 1 66,9624 66,9624 66,9624 66,9624 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-21 1 1 66,2709 66,2709 66,2709 66,2709 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-24 1 1 67,147 67,147 67,147 67,147 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-25 1 1 67,0484 67,0484 67,0484 67,0484 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-26 1 1 67,0897 67,0897 67,0897 67,0897 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-27 1 1 66,6849 66,6849 66,6849 66,6849 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-28 1 1 66,6283 66,6283 66,6283 66,6283 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-10-31 1 1 68,1607 68,1607 68,1607 68,1607 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-01 1 1 68,8497 68,8497 68,8497 68,8497 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-02 1 1 69,213 69,213 69,213 69,213 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-03 1 1 70,2734 70,2734 70,2734 70,2734 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-04 1 1 70,6471 70,6471 70,6471 70,6471 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-07 1 1 71,2651 71,2651 71,2651 71,2651 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-08 1 1 71,0152 71,0152 71,0152 71,0152 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-09 1 1 71,0779 71,0779 71,0779 71,0779 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-10 1 1 71,5103 71,5103 71,5103 71,5103 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-11 1 1 71,8128 71,8128 71,8128 71,8128 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-14 1 1 71,7587 71,7587 71,7587 71,7587 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-15 1 1 71,9477 71,9477 71,9477 71,9477 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-16 1 1 71,9089 71,9089 71,9089 71,9089 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-17 1 1 72,4248 72,4248 72,4248 72,4248 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-18 1 1 72,5821 72,5821 72,5821 72,5821 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-21 1 1 72,1269 72,1269 72,1269 72,1269 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-22 1 1 72,396 72,396 72,396 72,396 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-23 1 1 72,2826 72,2826 72,2826 72,2826 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-24 1 1 72,3473 72,3473 72,3473 72,3473 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-25 1 1 72,394 72,394 72,394 72,394 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-28 1 1 72,6 72,6 72,6 72,6 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-29 1 1 72,5066 72,5066 72,5066 72,5066 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-11-30 1 1 72,2611 72,2611 72,2611 72,2611 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-01 1 1 72,8298 72,8298 72,8298 72,8298 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-02 1 1 73,1512 73,1512 73,1512 73,1512 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-05 1 1 73,0984 73,0984 73,0984 73,0984 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-06 1 1 72,8244 72,8244 72,8244 72,8244 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-07 1 1 73,3607 73,3607 73,3607 73,3607 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-08 1 1 73,1227 73,1227 73,1227 73,1227 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-12 1 1 73,2523 73,2523 73,2523 73,2523 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-13 1 1 73,356 73,356 73,356 73,356 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-14 1 1 73,0581 73,0581 73,0581 73,0581 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-15 1 1 73,1 73,1 73,1 73,1 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-16 1 1 73,3922 73,3922 73,3922 73,3922 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-19 1 1 73,3004 73,3004 73,3004 73,3004 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-20 1 1 73,2324 73,2324 73,2324 73,2324 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-21 1 1 74,2971 74,2971 74,2971 74,2971 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-22 1 1 74,4416 74,4416 74,4416 74,4416 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-23 1 1 74,6062 74,6062 74,6062 74,6062 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-27 1 1 74,8789 74,8789 74,8789 74,8789 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-28 1 1 73,9725 73,9725 73,9725 73,9725 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-29 1 1 74,4746 74,4746 74,4746 74,4746 466805 Nordea Fonder AB Nordea Premiepensionsfond 1945-49 SEK 2005-12-30 1 1 73,9249 73,9249 73,9249 73,9249 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-03 1 1 55,7312 55,7312 55,7312 55,7312 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-04 1 1 55,9636 55,9636 55,9636 55,9636 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-05 1 1 55,5783 55,5783 55,5783 55,5783 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-07 1 1 55,7073 55,7073 55,7073 55,7073 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-10 1 1 56,1706 56,1706 56,1706 56,1706 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-11 1 1 55,8636 55,8636 55,8636 55,8636 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-12 1 1 55,4966 55,4966 55,4966 55,4966 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-13 1 1 55,6336 55,6336 55,6336 55,6336 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-14 1 1 55,9656 55,9656 55,9656 55,9656 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-17 1 1 56,4364 56,4364 56,4364 56,4364 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-18 1 1 56,3002 56,3002 56,3002 56,3002 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-19 1 1 56,5054 56,5054 56,5054 56,5054 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-20 1 1 56,1868 56,1868 56,1868 56,1868 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-21 1 1 56,0131 56,0131 56,0131 56,0131 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-24 1 1 55,6668 55,6668 55,6668 55,6668 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-25 1 1 56,0633 56,0633 56,0633 56,0633 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-26 1 1 56,3675 56,3675 56,3675 56,3675 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-27 1 1 56,4655 56,4655 56,4655 56,4655 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-28 1 1 56,4575 56,4575 56,4575 56,4575 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-01-31 1 1 56,7642 56,7642 56,7642 56,7642 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-01 1 1 56,7788 56,7788 56,7788 56,7788 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-02 1 1 57,0364 57,0364 57,0364 57,0364 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-03 1 1 57,2764 57,2764 57,2764 57,2764 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-04 1 1 57,791 57,791 57,791 57,791 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-07 1 1 58,5316 58,5316 58,5316 58,5316 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-08 1 1 58,8013 58,8013 58,8013 58,8013 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-09 1 1 58,6528 58,6528 58,6528 58,6528 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-10 1 1 58,3023 58,3023 58,3023 58,3023 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-11 1 1 58,4603 58,4603 58,4603 58,4603 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-14 1 1 58,7744 58,7744 58,7744 58,7744 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-15 1 1 58,7664 58,7664 58,7664 58,7664 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-16 1 1 58,4604 58,4604 58,4604 58,4604 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-17 1 1 58,5209 58,5209 58,5209 58,5209 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-18 1 1 58,3363 58,3363 58,3363 58,3363 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-21 1 1 58,5907 58,5907 58,5907 58,5907 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-22 1 1 57,87 57,87 57,87 57,87 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-23 1 1 57,4376 57,4376 57,4376 57,4376 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-24 1 1 57,4474 57,4474 57,4474 57,4474 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-25 1 1 58,1529 58,1529 58,1529 58,1529 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-02-28 1 1 58,3456 58,3456 58,3456 58,3456 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-01 1 1 58,485 58,485 58,485 58,485 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-02 1 1 58,7097 58,7097 58,7097 58,7097 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-03 1 1 58,903 58,903 58,903 58,903 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-04 1 1 58,9249 58,9249 58,9249 58,9249 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-07 1 1 58,9824 58,9824 58,9824 58,9824 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-08 1 1 58,5405 58,5405 58,5405 58,5405 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-09 1 1 58,2959 58,2959 58,2959 58,2959 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-10 1 1 57,9383 57,9383 57,9383 57,9383 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-11 1 1 58,0539 58,0539 58,0539 58,0539 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-14 1 1 57,9318 57,9318 57,9318 57,9318 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-15 1 1 58,3951 58,3951 58,3951 58,3951 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-16 1 1 57,541 57,541 57,541 57,541 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-17 1 1 57,4421 57,4421 57,4421 57,4421 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-18 1 1 57,852 57,852 57,852 57,852 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-21 1 1 57,97 57,97 57,97 57,97 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-22 1 1 57,9938 57,9938 57,9938 57,9938 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-23 1 1 57,8436 57,8436 57,8436 57,8436 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-24 1 1 58,0595 58,0595 58,0595 58,0595 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-29 1 1 58,2027 58,2027 58,2027 58,2027 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-30 1 1 57,6506 57,6506 57,6506 57,6506 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-03-31 1 1 58,4178 58,4178 58,4178 58,4178 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-01 1 1 58,7472 58,7472 58,7472 58,7472 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-04 1 1 58,668 58,668 58,668 58,668 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-05 1 1 59,058 59,058 59,058 59,058 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-06 1 1 59,0969 59,0969 59,0969 59,0969 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-07 1 1 59,0209 59,0209 59,0209 59,0209 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-08 1 1 59,5301 59,5301 59,5301 59,5301 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-11 1 1 58,9271 58,9271 58,9271 58,9271 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-12 1 1 58,7851 58,7851 58,7851 58,7851 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-13 1 1 59,0688 59,0688 59,0688 59,0688 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-14 1 1 59,1741 59,1741 59,1741 59,1741 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-15 1 1 58,2358 58,2358 58,2358 58,2358 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-18 1 1 56,9499 56,9499 56,9499 56,9499 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-19 1 1 57,4045 57,4045 57,4045 57,4045 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-20 1 1 57,4908 57,4908 57,4908 57,4908 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-21 1 1 57,0115 57,0115 57,0115 57,0115 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-22 1 1 57,5811 57,5811 57,5811 57,5811 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-25 1 1 57,7289 57,7289 57,7289 57,7289 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-26 1 1 57,5435 57,5435 57,5435 57,5435 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-27 1 1 56,9728 56,9728 56,9728 56,9728 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-28 1 1 56,9963 56,9963 56,9963 56,9963 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-04-29 1 1 57,0837 57,0837 57,0837 57,0837 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-02 1 1 57,7217 57,7217 57,7217 57,7217 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-03 1 1 57,8416 57,8416 57,8416 57,8416 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-04 1 1 57,5248 57,5248 57,5248 57,5248 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-06 1 1 58,7523 58,7523 58,7523 58,7523 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-09 1 1 58,6463 58,6463 58,6463 58,6463 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-10 1 1 58,6037 58,6037 58,6037 58,6037 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-11 1 1 58,4457 58,4457 58,4457 58,4457 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-12 1 1 58,8875 58,8875 58,8875 58,8875 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-13 1 1 58,8044 58,8044 58,8044 58,8044 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-16 1 1 58,7325 58,7325 58,7325 58,7325 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-17 1 1 58,9485 58,9485 58,9485 58,9485 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-18 1 1 59,4683 59,4683 59,4683 59,4683 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-19 1 1 59,8758 59,8758 59,8758 59,8758 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-20 1 1 59,9253 59,9253 59,9253 59,9253 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-23 1 1 59,8958 59,8958 59,8958 59,8958 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-24 1 1 59,9875 59,9875 59,9875 59,9875 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-25 1 1 60,0821 60,0821 60,0821 60,0821 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-26 1 1 60,4119 60,4119 60,4119 60,4119 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-27 1 1 60,6833 60,6833 60,6833 60,6833 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-30 1 1 60,8452 60,8452 60,8452 60,8452 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-05-31 1 1 61,1706 61,1706 61,1706 61,1706 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-01 1 1 61,2913 61,2913 61,2913 61,2913 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-02 1 1 61,596 61,596 61,596 61,596 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-03 1 1 61,6986 61,6986 61,6986 61,6986 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-07 1 1 61,8393 61,8393 61,8393 61,8393 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-08 1 1 62,0699 62,0699 62,0699 62,0699 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-09 1 1 62,1775 62,1775 62,1775 62,1775 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-10 1 1 63,0096 63,0096 63,0096 63,0096 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-13 1 1 63,4943 63,4943 63,4943 63,4943 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-14 1 1 63,7025 63,7025 63,7025 63,7025 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-15 1 1 63,8226 63,8226 63,8226 63,8226 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-16 1 1 63,7922 63,7922 63,7922 63,7922 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-17 1 1 63,8132 63,8132 63,8132 63,8132 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-20 1 1 63,695 63,695 63,695 63,695 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-21 1 1 64,1149 64,1149 64,1149 64,1149 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-22 1 1 64,5716 64,5716 64,5716 64,5716 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-23 1 1 65,3373 65,3373 65,3373 65,3373 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-27 1 1 64,1271 64,1271 64,1271 64,1271 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-28 1 1 64,5381 64,5381 64,5381 64,5381 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-29 1 1 65,1709 65,1709 65,1709 65,1709 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-06-30 1 1 65,2007 65,2007 65,2007 65,2007 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-01 1 1 65,287 65,287 65,287 65,287 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-04 1 1 65,9161 65,9161 65,9161 65,9161 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-05 1 1 65,5735 65,5735 65,5735 65,5735 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-06 1 1 65,8555 65,8555 65,8555 65,8555 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-07 1 1 65,0275 65,0275 65,0275 65,0275 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-08 1 1 65,5892 65,5892 65,5892 65,5892 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-11 1 1 66,5687 66,5687 66,5687 66,5687 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-12 1 1 66,1521 66,1521 66,1521 66,1521 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-13 1 1 66,0601 66,0601 66,0601 66,0601 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-14 1 1 66,4161 66,4161 66,4161 66,4161 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-15 1 1 66,477 66,477 66,477 66,477 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-18 1 1 66,2463 66,2463 66,2463 66,2463 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-19 1 1 66,6592 66,6592 66,6592 66,6592 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-20 1 1 66,6057 66,6057 66,6057 66,6057 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-21 1 1 66,8936 66,8936 66,8936 66,8936 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-22 1 1 66,7225 66,7225 66,7225 66,7225 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-25 1 1 66,9157 66,9157 66,9157 66,9157 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-26 1 1 67,29 67,29 67,29 67,29 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-27 1 1 67,3219 67,3219 67,3219 67,3219 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-28 1 1 67,469 67,469 67,469 67,469 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-07-29 1 1 67,5976 67,5976 67,5976 67,5976 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-01 1 1 67,1248 67,1248 67,1248 67,1248 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-02 1 1 67,2922 67,2922 67,2922 67,2922 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-03 1 1 67,2394 67,2394 67,2394 67,2394 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-04 1 1 66,5121 66,5121 66,5121 66,5121 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-05 1 1 66,0674 66,0674 66,0674 66,0674 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-08 1 1 65,9444 65,9444 65,9444 65,9444 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-09 1 1 66,1212 66,1212 66,1212 66,1212 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-10 1 1 66,8943 66,8943 66,8943 66,8943 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-11 1 1 66,5761 66,5761 66,5761 66,5761 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-12 1 1 66,6617 66,6617 66,6617 66,6617 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-15 1 1 66,7046 66,7046 66,7046 66,7046 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-16 1 1 66,9877 66,9877 66,9877 66,9877 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-17 1 1 66,4597 66,4597 66,4597 66,4597 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-18 1 1 66,6327 66,6327 66,6327 66,6327 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-19 1 1 67,1353 67,1353 67,1353 67,1353 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-22 1 1 67,3614 67,3614 67,3614 67,3614 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-23 1 1 67,0497 67,0497 67,0497 67,0497 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-24 1 1 66,3562 66,3562 66,3562 66,3562 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-25 1 1 66,0481 66,0481 66,0481 66,0481 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-26 1 1 65,7282 65,7282 65,7282 65,7282 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-29 1 1 65,5871 65,5871 65,5871 65,5871 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-30 1 1 66,3021 66,3021 66,3021 66,3021 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-08-31 1 1 66,2891 66,2891 66,2891 66,2891 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-01 1 1 66,4087 66,4087 66,4087 66,4087 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-02 1 1 65,8605 65,8605 65,8605 65,8605 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-05 1 1 65,944 65,944 65,944 65,944 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-06 1 1 66,5433 66,5433 66,5433 66,5433 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-07 1 1 67,0523 67,0523 67,0523 67,0523 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-08 1 1 67,1309 67,1309 67,1309 67,1309 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-09 1 1 67,4651 67,4651 67,4651 67,4651 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-12 1 1 68,0945 68,0945 68,0945 68,0945 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-13 1 1 68,2004 68,2004 68,2004 68,2004 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-14 1 1 68,1827 68,1827 68,1827 68,1827 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-15 1 1 68,3994 68,3994 68,3994 68,3994 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-16 1 1 68,4993 68,4993 68,4993 68,4993 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-19 1 1 68,9062 68,9062 68,9062 68,9062 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-20 1 1 69,0758 69,0758 69,0758 69,0758 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-21 1 1 68,3256 68,3256 68,3256 68,3256 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-22 1 1 68,1782 68,1782 68,1782 68,1782 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-23 1 1 68,6893 68,6893 68,6893 68,6893 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-26 1 1 69,6723 69,6723 69,6723 69,6723 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-27 1 1 69,8045 69,8045 69,8045 69,8045 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-28 1 1 70,3212 70,3212 70,3212 70,3212 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-29 1 1 70,3233 70,3233 70,3233 70,3233 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-09-30 1 1 70,4364 70,4364 70,4364 70,4364 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-03 1 1 70,836 70,836 70,836 70,836 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-04 1 1 71,051 71,051 71,051 71,051 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-05 1 1 69,7266 69,7266 69,7266 69,7266 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-06 1 1 68,0911 68,0911 68,0911 68,0911 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-07 1 1 68,1135 68,1135 68,1135 68,1135 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-10 1 1 68,4056 68,4056 68,4056 68,4056 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-11 1 1 68,9259 68,9259 68,9259 68,9259 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-12 1 1 68,5677 68,5677 68,5677 68,5677 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-13 1 1 68,1785 68,1785 68,1785 68,1785 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-14 1 1 68,3273 68,3273 68,3273 68,3273 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-17 1 1 68,5619 68,5619 68,5619 68,5619 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-18 1 1 68,6325 68,6325 68,6325 68,6325 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-19 1 1 67,7135 67,7135 67,7135 67,7135 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-20 1 1 68,3824 68,3824 68,3824 68,3824 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-21 1 1 67,673 67,673 67,673 67,673 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-24 1 1 68,5732 68,5732 68,5732 68,5732 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-25 1 1 68,4753 68,4753 68,4753 68,4753 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-26 1 1 68,5215 68,5215 68,5215 68,5215 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-27 1 1 68,1083 68,1083 68,1083 68,1083 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-28 1 1 68,0461 68,0461 68,0461 68,0461 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-10-31 1 1 69,6132 69,6132 69,6132 69,6132 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-01 1 1 70,32 70,32 70,32 70,32 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-02 1 1 70,6917 70,6917 70,6917 70,6917 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-03 1 1 71,7799 71,7799 71,7799 71,7799 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-04 1 1 72,1625 72,1625 72,1625 72,1625 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-07 1 1 72,7936 72,7936 72,7936 72,7936 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-08 1 1 72,5378 72,5378 72,5378 72,5378 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-09 1 1 72,605 72,605 72,605 72,605 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-10 1 1 73,0492 73,0492 73,0492 73,0492 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-11 1 1 73,3608 73,3608 73,3608 73,3608 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-14 1 1 73,3112 73,3112 73,3112 73,3112 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-15 1 1 73,5025 73,5025 73,5025 73,5025 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-16 1 1 73,4632 73,4632 73,4632 73,4632 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-17 1 1 73,9946 73,9946 73,9946 73,9946 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-18 1 1 74,1564 74,1564 74,1564 74,1564 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-21 1 1 73,6904 73,6904 73,6904 73,6904 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-22 1 1 73,9663 73,9663 73,9663 73,9663 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-23 1 1 73,8575 73,8575 73,8575 73,8575 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-24 1 1 73,9224 73,9224 73,9224 73,9224 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-25 1 1 73,969 73,969 73,969 73,969 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-28 1 1 74,1829 74,1829 74,1829 74,1829 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-29 1 1 74,0836 74,0836 74,0836 74,0836 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-11-30 1 1 73,8322 73,8322 73,8322 73,8322 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-01 1 1 74,4189 74,4189 74,4189 74,4189 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-02 1 1 74,7522 74,7522 74,7522 74,7522 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-05 1 1 74,6984 74,6984 74,6984 74,6984 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-06 1 1 74,4183 74,4183 74,4183 74,4183 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-07 1 1 74,9683 74,9683 74,9683 74,9683 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-08 1 1 74,729 74,729 74,729 74,729 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-12 1 1 74,8639 74,8639 74,8639 74,8639 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-13 1 1 74,9685 74,9685 74,9685 74,9685 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-14 1 1 74,662 74,662 74,662 74,662 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-15 1 1 74,7037 74,7037 74,7037 74,7037 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-16 1 1 74,9989 74,9989 74,9989 74,9989 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-19 1 1 74,9063 74,9063 74,9063 74,9063 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-20 1 1 74,8327 74,8327 74,8327 74,8327 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-21 1 1 75,9279 75,9279 75,9279 75,9279 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-22 1 1 76,0763 76,0763 76,0763 76,0763 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-23 1 1 76,2469 76,2469 76,2469 76,2469 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-27 1 1 76,5296 76,5296 76,5296 76,5296 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-28 1 1 75,6029 75,6029 75,6029 75,6029 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-29 1 1 76,1209 76,1209 76,1209 76,1209 430975 Nordea Fonder AB Nordea Premiepensionsfond 1950-54 SEK 2005-12-30 1 1 75,5528 75,5528 75,5528 75,5528 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-03 1 1 55,3331 55,3331 55,3331 55,3331 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-04 1 1 55,5614 55,5614 55,5614 55,5614 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-05 1 1 55,1755 55,1755 55,1755 55,1755 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-07 1 1 55,3 55,3 55,3 55,3 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-10 1 1 55,7521 55,7521 55,7521 55,7521 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-11 1 1 55,4463 55,4463 55,4463 55,4463 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-12 1 1 55,0784 55,0784 55,0784 55,0784 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-13 1 1 55,2139 55,2139 55,2139 55,2139 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-14 1 1 55,5461 55,5461 55,5461 55,5461 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-17 1 1 56,0189 56,0189 56,0189 56,0189 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-18 1 1 55,876 55,876 55,876 55,876 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-19 1 1 56,0868 56,0868 56,0868 56,0868 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-20 1 1 55,7624 55,7624 55,7624 55,7624 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-21 1 1 55,5913 55,5913 55,5913 55,5913 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-24 1 1 55,246 55,246 55,246 55,246 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-25 1 1 55,6386 55,6386 55,6386 55,6386 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-26 1 1 55,9404 55,9404 55,9404 55,9404 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-27 1 1 56,0354 56,0354 56,0354 56,0354 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-28 1 1 56,0278 56,0278 56,0278 56,0278 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-01-31 1 1 56,3292 56,3292 56,3292 56,3292 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-01 1 1 56,3434 56,3434 56,3434 56,3434 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-02 1 1 56,5961 56,5961 56,5961 56,5961 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-03 1 1 56,8297 56,8297 56,8297 56,8297 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-04 1 1 57,3368 57,3368 57,3368 57,3368 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-07 1 1 58,0672 58,0672 58,0672 58,0672 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-08 1 1 58,3284 58,3284 58,3284 58,3284 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-09 1 1 58,1848 58,1848 58,1848 58,1848 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-10 1 1 57,8362 57,8362 57,8362 57,8362 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-11 1 1 57,9901 57,9901 57,9901 57,9901 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-14 1 1 58,3062 58,3062 58,3062 58,3062 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-15 1 1 58,2985 58,2985 58,2985 58,2985 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-16 1 1 57,9936 57,9936 57,9936 57,9936 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-17 1 1 58,0526 58,0526 58,0526 58,0526 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-18 1 1 57,8717 57,8717 57,8717 57,8717 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-21 1 1 58,119 58,119 58,119 58,119 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-22 1 1 57,4132 57,4132 57,4132 57,4132 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-23 1 1 56,9843 56,9843 56,9843 56,9843 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-24 1 1 56,9994 56,9994 56,9994 56,9994 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-25 1 1 57,6953 57,6953 57,6953 57,6953 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-02-28 1 1 57,8863 57,8863 57,8863 57,8863 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-01 1 1 58,0289 58,0289 58,0289 58,0289 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-02 1 1 58,2476 58,2476 58,2476 58,2476 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-03 1 1 58,4364 58,4364 58,4364 58,4364 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-04 1 1 58,4546 58,4546 58,4546 58,4546 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-07 1 1 58,5118 58,5118 58,5118 58,5118 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-08 1 1 58,0757 58,0757 58,0757 58,0757 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-09 1 1 57,8389 57,8389 57,8389 57,8389 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-10 1 1 57,4851 57,4851 57,4851 57,4851 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-11 1 1 57,5992 57,5992 57,5992 57,5992 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-14 1 1 57,4757 57,4757 57,4757 57,4757 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-15 1 1 57,9317 57,9317 57,9317 57,9317 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-16 1 1 57,0864 57,0864 57,0864 57,0864 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-17 1 1 56,9874 56,9874 56,9874 56,9874 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-18 1 1 57,394 57,394 57,394 57,394 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-21 1 1 57,5145 57,5145 57,5145 57,5145 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-22 1 1 57,5336 57,5336 57,5336 57,5336 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-23 1 1 57,3885 57,3885 57,3885 57,3885 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-24 1 1 57,6069 57,6069 57,6069 57,6069 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-29 1 1 57,7533 57,7533 57,7533 57,7533 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-30 1 1 57,2025 57,2025 57,2025 57,2025 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-03-31 1 1 57,9681 57,9681 57,9681 57,9681 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-01 1 1 58,304 58,304 58,304 58,304 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-04 1 1 58,2224 58,2224 58,2224 58,2224 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-05 1 1 58,6024 58,6024 58,6024 58,6024 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-06 1 1 58,6395 58,6395 58,6395 58,6395 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-07 1 1 58,5643 58,5643 58,5643 58,5643 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-08 1 1 59,0731 59,0731 59,0731 59,0731 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-11 1 1 58,4758 58,4758 58,4758 58,4758 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-12 1 1 58,3284 58,3284 58,3284 58,3284 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-13 1 1 58,6085 58,6085 58,6085 58,6085 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-14 1 1 58,7146 58,7146 58,7146 58,7146 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-15 1 1 57,7813 57,7813 57,7813 57,7813 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-18 1 1 56,5041 56,5041 56,5041 56,5041 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-19 1 1 56,9541 56,9541 56,9541 56,9541 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-20 1 1 57,044 57,044 57,044 57,044 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-21 1 1 56,5694 56,5694 56,5694 56,5694 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-22 1 1 57,1311 57,1311 57,1311 57,1311 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-25 1 1 57,273 57,273 57,273 57,273 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-26 1 1 57,088 57,088 57,088 57,088 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-27 1 1 56,5237 56,5237 56,5237 56,5237 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-28 1 1 56,5434 56,5434 56,5434 56,5434 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-04-29 1 1 56,629 56,629 56,629 56,629 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-02 1 1 57,2618 57,2618 57,2618 57,2618 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-03 1 1 57,3747 57,3747 57,3747 57,3747 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-04 1 1 57,0646 57,0646 57,0646 57,0646 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-06 1 1 58,2766 58,2766 58,2766 58,2766 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-09 1 1 58,1744 58,1744 58,1744 58,1744 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-10 1 1 58,1259 58,1259 58,1259 58,1259 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-11 1 1 57,972 57,972 57,972 57,972 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-12 1 1 58,4081 58,4081 58,4081 58,4081 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-13 1 1 58,3261 58,3261 58,3261 58,3261 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-16 1 1 58,2603 58,2603 58,2603 58,2603 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-17 1 1 58,472 58,472 58,472 58,472 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-18 1 1 58,9857 58,9857 58,9857 58,9857 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-19 1 1 59,3927 59,3927 59,3927 59,3927 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-20 1 1 59,4373 59,4373 59,4373 59,4373 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-23 1 1 59,4097 59,4097 59,4097 59,4097 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-24 1 1 59,4979 59,4979 59,4979 59,4979 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-25 1 1 59,5864 59,5864 59,5864 59,5864 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-26 1 1 59,9151 59,9151 59,9151 59,9151 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-27 1 1 60,1886 60,1886 60,1886 60,1886 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-30 1 1 60,3499 60,3499 60,3499 60,3499 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-05-31 1 1 60,6718 60,6718 60,6718 60,6718 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-01 1 1 60,7889 60,7889 60,7889 60,7889 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-02 1 1 61,0921 61,0921 61,0921 61,0921 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-03 1 1 61,1935 61,1935 61,1935 61,1935 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-07 1 1 61,3313 61,3313 61,3313 61,3313 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-08 1 1 61,5638 61,5638 61,5638 61,5638 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-09 1 1 61,6689 61,6689 61,6689 61,6689 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-10 1 1 62,4952 62,4952 62,4952 62,4952 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-13 1 1 62,9784 62,9784 62,9784 62,9784 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-14 1 1 63,1812 63,1812 63,1812 63,1812 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-15 1 1 63,303 63,303 63,303 63,303 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-16 1 1 63,2758 63,2758 63,2758 63,2758 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-17 1 1 63,2989 63,2989 63,2989 63,2989 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-20 1 1 63,1738 63,1738 63,1738 63,1738 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-21 1 1 63,5983 63,5983 63,5983 63,5983 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-22 1 1 64,0536 64,0536 64,0536 64,0536 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-23 1 1 64,8091 64,8091 64,8091 64,8091 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-27 1 1 63,6094 63,6094 63,6094 63,6094 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-28 1 1 64,0188 64,0188 64,0188 64,0188 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-29 1 1 64,6498 64,6498 64,6498 64,6498 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-06-30 1 1 64,685 64,685 64,685 64,685 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-01 1 1 64,7745 64,7745 64,7745 64,7745 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-04 1 1 65,3975 65,3975 65,3975 65,3975 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-05 1 1 65,0586 65,0586 65,0586 65,0586 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-06 1 1 65,3383 65,3383 65,3383 65,3383 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-07 1 1 64,5246 64,5246 64,5246 64,5246 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-08 1 1 65,0854 65,0854 65,0854 65,0854 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-11 1 1 66,0544 66,0544 66,0544 66,0544 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-12 1 1 65,6326 65,6326 65,6326 65,6326 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-13 1 1 65,5395 65,5395 65,5395 65,5395 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-14 1 1 65,8918 65,8918 65,8918 65,8918 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-15 1 1 65,9528 65,9528 65,9528 65,9528 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-18 1 1 65,7243 65,7243 65,7243 65,7243 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-19 1 1 66,1394 66,1394 66,1394 66,1394 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-20 1 1 66,0882 66,0882 66,0882 66,0882 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-21 1 1 66,371 66,371 66,371 66,371 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-22 1 1 66,1961 66,1961 66,1961 66,1961 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-25 1 1 66,3802 66,3802 66,3802 66,3802 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-26 1 1 66,7553 66,7553 66,7553 66,7553 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-27 1 1 66,7886 66,7886 66,7886 66,7886 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-28 1 1 66,9336 66,9336 66,9336 66,9336 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-07-29 1 1 67,0579 67,0579 67,0579 67,0579 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-01 1 1 66,5884 66,5884 66,5884 66,5884 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-02 1 1 66,749 66,749 66,749 66,749 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-03 1 1 66,6936 66,6936 66,6936 66,6936 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-04 1 1 65,9752 65,9752 65,9752 65,9752 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-05 1 1 65,5307 65,5307 65,5307 65,5307 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-08 1 1 65,4148 65,4148 65,4148 65,4148 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-09 1 1 65,5927 65,5927 65,5927 65,5927 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-10 1 1 66,3602 66,3602 66,3602 66,3602 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-11 1 1 66,0509 66,0509 66,0509 66,0509 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-12 1 1 66,1358 66,1358 66,1358 66,1358 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-15 1 1 66,1753 66,1753 66,1753 66,1753 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-16 1 1 66,4588 66,4588 66,4588 66,4588 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-17 1 1 65,9274 65,9274 65,9274 65,9274 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-18 1 1 66,0999 66,0999 66,0999 66,0999 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-19 1 1 66,6002 66,6002 66,6002 66,6002 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-22 1 1 66,8217 66,8217 66,8217 66,8217 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-23 1 1 66,5108 66,5108 66,5108 66,5108 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-24 1 1 65,82 65,82 65,82 65,82 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-25 1 1 65,5103 65,5103 65,5103 65,5103 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-26 1 1 65,1956 65,1956 65,1956 65,1956 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-29 1 1 65,0507 65,0507 65,0507 65,0507 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-30 1 1 65,7557 65,7557 65,7557 65,7557 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-08-31 1 1 65,7362 65,7362 65,7362 65,7362 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-01 1 1 65,8558 65,8558 65,8558 65,8558 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-02 1 1 65,3124 65,3124 65,3124 65,3124 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-05 1 1 65,3998 65,3998 65,3998 65,3998 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-06 1 1 65,9938 65,9938 65,9938 65,9938 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-07 1 1 66,499 66,499 66,499 66,499 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-08 1 1 66,5773 66,5773 66,5773 66,5773 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-09 1 1 66,9128 66,9128 66,9128 66,9128 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-12 1 1 67,538 67,538 67,538 67,538 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-13 1 1 67,6418 67,6418 67,6418 67,6418 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-14 1 1 67,6263 67,6263 67,6263 67,6263 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-15 1 1 67,8395 67,8395 67,8395 67,8395 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-16 1 1 67,9372 67,9372 67,9372 67,9372 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-19 1 1 68,3314 68,3314 68,3314 68,3314 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-20 1 1 68,5001 68,5001 68,5001 68,5001 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-21 1 1 67,7493 67,7493 67,7493 67,7493 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-22 1 1 67,6029 67,6029 67,6029 67,6029 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-23 1 1 68,1109 68,1109 68,1109 68,1109 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-26 1 1 69,0815 69,0815 69,0815 69,0815 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-27 1 1 69,2136 69,2136 69,2136 69,2136 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-28 1 1 69,7275 69,7275 69,7275 69,7275 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-29 1 1 69,7352 69,7352 69,7352 69,7352 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-09-30 1 1 69,8505 69,8505 69,8505 69,8505 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-03 1 1 70,2438 70,2438 70,2438 70,2438 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-04 1 1 70,4645 70,4645 70,4645 70,4645 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-05 1 1 69,149 69,149 69,149 69,149 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-06 1 1 67,5179 67,5179 67,5179 67,5179 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-07 1 1 67,5416 67,5416 67,5416 67,5416 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-10 1 1 67,833 67,833 67,833 67,833 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-11 1 1 68,3518 68,3518 68,3518 68,3518 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-12 1 1 67,995 67,995 67,995 67,995 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-13 1 1 67,5998 67,5998 67,5998 67,5998 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-14 1 1 67,7378 67,7378 67,7378 67,7378 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-17 1 1 67,9727 67,9727 67,9727 67,9727 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-18 1 1 68,0449 68,0449 68,0449 68,0449 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-19 1 1 67,1275 67,1275 67,1275 67,1275 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-20 1 1 67,7933 67,7933 67,7933 67,7933 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-21 1 1 67,0916 67,0916 67,0916 67,0916 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-24 1 1 67,9848 67,9848 67,9848 67,9848 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-25 1 1 67,8997 67,8997 67,8997 67,8997 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-26 1 1 67,9447 67,9447 67,9447 67,9447 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-27 1 1 67,5287 67,5287 67,5287 67,5287 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-28 1 1 67,4677 67,4677 67,4677 67,4677 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-10-31 1 1 69,0309 69,0309 69,0309 69,0309 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-01 1 1 69,7295 69,7295 69,7295 69,7295 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-02 1 1 70,1119 70,1119 70,1119 70,1119 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-03 1 1 71,197 71,197 71,197 71,197 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-04 1 1 71,5819 71,5819 71,5819 71,5819 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-07 1 1 72,2067 72,2067 72,2067 72,2067 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-08 1 1 71,9505 71,9505 71,9505 71,9505 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-09 1 1 72,0181 72,0181 72,0181 72,0181 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-10 1 1 72,4625 72,4625 72,4625 72,4625 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-11 1 1 72,7776 72,7776 72,7776 72,7776 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-14 1 1 72,7233 72,7233 72,7233 72,7233 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-15 1 1 72,9164 72,9164 72,9164 72,9164 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-16 1 1 72,8798 72,8798 72,8798 72,8798 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-17 1 1 73,411 73,411 73,411 73,411 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-18 1 1 73,579 73,579 73,579 73,579 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-21 1 1 73,1209 73,1209 73,1209 73,1209 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-22 1 1 73,3979 73,3979 73,3979 73,3979 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-23 1 1 73,2892 73,2892 73,2892 73,2892 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-24 1 1 73,3539 73,3539 73,3539 73,3539 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-25 1 1 73,402 73,402 73,402 73,402 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-28 1 1 73,6123 73,6123 73,6123 73,6123 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-29 1 1 73,5143 73,5143 73,5143 73,5143 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-11-30 1 1 73,262 73,262 73,262 73,262 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-01 1 1 73,8465 73,8465 73,8465 73,8465 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-02 1 1 74,1772 74,1772 74,1772 74,1772 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-05 1 1 74,1225 74,1225 74,1225 74,1225 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-06 1 1 73,847 73,847 73,847 73,847 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-07 1 1 74,3959 74,3959 74,3959 74,3959 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-08 1 1 74,1558 74,1558 74,1558 74,1558 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-12 1 1 74,2926 74,2926 74,2926 74,2926 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-13 1 1 74,3962 74,3962 74,3962 74,3962 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-14 1 1 74,093 74,093 74,093 74,093 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-15 1 1 74,1341 74,1341 74,1341 74,1341 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-16 1 1 74,4266 74,4266 74,4266 74,4266 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-19 1 1 74,3334 74,3334 74,3334 74,3334 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-20 1 1 74,264 74,264 74,264 74,264 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-21 1 1 75,3503 75,3503 75,3503 75,3503 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-22 1 1 75,4998 75,4998 75,4998 75,4998 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-23 1 1 75,6672 75,6672 75,6672 75,6672 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-27 1 1 75,9469 75,9469 75,9469 75,9469 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-28 1 1 75,0253 75,0253 75,0253 75,0253 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-29 1 1 75,5375 75,5375 75,5375 75,5375 395145 Nordea Fonder AB Nordea Premiepensionsfond 1955-59 SEK 2005-12-30 1 1 74,9726 74,9726 74,9726 74,9726 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-03 1 1 55,2582 55,2582 55,2582 55,2582 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-04 1 1 55,4941 55,4941 55,4941 55,4941 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-05 1 1 55,1107 55,1107 55,1107 55,1107 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-07 1 1 55,2358 55,2358 55,2358 55,2358 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-10 1 1 55,6914 55,6914 55,6914 55,6914 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-11 1 1 55,3871 55,3871 55,3871 55,3871 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-12 1 1 55,0209 55,0209 55,0209 55,0209 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-13 1 1 55,1557 55,1557 55,1557 55,1557 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-14 1 1 55,4866 55,4866 55,4866 55,4866 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-17 1 1 55,9571 55,9571 55,9571 55,9571 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-18 1 1 55,8155 55,8155 55,8155 55,8155 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-19 1 1 56,0255 56,0255 56,0255 56,0255 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-20 1 1 55,6993 55,6993 55,6993 55,6993 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-21 1 1 55,5254 55,5254 55,5254 55,5254 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-24 1 1 55,182 55,182 55,182 55,182 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-25 1 1 55,5733 55,5733 55,5733 55,5733 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-26 1 1 55,8754 55,8754 55,8754 55,8754 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-27 1 1 55,9717 55,9717 55,9717 55,9717 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-28 1 1 55,9597 55,9597 55,9597 55,9597 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-01-31 1 1 56,2634 56,2634 56,2634 56,2634 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-01 1 1 56,2808 56,2808 56,2808 56,2808 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-02 1 1 56,5325 56,5325 56,5325 56,5325 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-03 1 1 56,7671 56,7671 56,7671 56,7671 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-04 1 1 57,2754 57,2754 57,2754 57,2754 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-07 1 1 58,0108 58,0108 58,0108 58,0108 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-08 1 1 58,274 58,274 58,274 58,274 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-09 1 1 58,1321 58,1321 58,1321 58,1321 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-10 1 1 57,7777 57,7777 57,7777 57,7777 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-11 1 1 57,9288 57,9288 57,9288 57,9288 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-14 1 1 58,2454 58,2454 58,2454 58,2454 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-15 1 1 58,2369 58,2369 58,2369 58,2369 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-16 1 1 57,9318 57,9318 57,9318 57,9318 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-17 1 1 57,9892 57,9892 57,9892 57,9892 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-18 1 1 57,8066 57,8066 57,8066 57,8066 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-21 1 1 58,0551 58,0551 58,0551 58,0551 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-22 1 1 57,3419 57,3419 57,3419 57,3419 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-23 1 1 56,9117 56,9117 56,9117 56,9117 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-24 1 1 56,9275 56,9275 56,9275 56,9275 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-25 1 1 57,6233 57,6233 57,6233 57,6233 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-02-28 1 1 57,8154 57,8154 57,8154 57,8154 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-01 1 1 57,9528 57,9528 57,9528 57,9528 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-02 1 1 58,1744 58,1744 58,1744 58,1744 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-03 1 1 58,361 58,361 58,361 58,361 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-04 1 1 58,3811 58,3811 58,3811 58,3811 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-07 1 1 58,4373 58,4373 58,4373 58,4373 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-08 1 1 58,0013 58,0013 58,0013 58,0013 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-09 1 1 57,7593 57,7593 57,7593 57,7593 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-10 1 1 57,4082 57,4082 57,4082 57,4082 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-11 1 1 57,5238 57,5238 57,5238 57,5238 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-14 1 1 57,4028 57,4028 57,4028 57,4028 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-15 1 1 57,8636 57,8636 57,8636 57,8636 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-16 1 1 57,0146 57,0146 57,0146 57,0146 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-17 1 1 56,9157 56,9157 56,9157 56,9157 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-18 1 1 57,3227 57,3227 57,3227 57,3227 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-21 1 1 57,439 57,439 57,439 57,439 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-22 1 1 57,4602 57,4602 57,4602 57,4602 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-23 1 1 57,3123 57,3123 57,3123 57,3123 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-24 1 1 57,5324 57,5324 57,5324 57,5324 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-29 1 1 57,6781 57,6781 57,6781 57,6781 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-30 1 1 57,1263 57,1263 57,1263 57,1263 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-03-31 1 1 57,8874 57,8874 57,8874 57,8874 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-01 1 1 58,219 58,219 58,219 58,219 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-04 1 1 58,1394 58,1394 58,1394 58,1394 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-05 1 1 58,52 58,52 58,52 58,52 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-06 1 1 58,5582 58,5582 58,5582 58,5582 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-07 1 1 58,4787 58,4787 58,4787 58,4787 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-08 1 1 58,9849 58,9849 58,9849 58,9849 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-11 1 1 58,3878 58,3878 58,3878 58,3878 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-12 1 1 58,25 58,25 58,25 58,25 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-13 1 1 58,5332 58,5332 58,5332 58,5332 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-14 1 1 58,6363 58,6363 58,6363 58,6363 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-15 1 1 57,7068 57,7068 57,7068 57,7068 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-18 1 1 56,4338 56,4338 56,4338 56,4338 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-19 1 1 56,8856 56,8856 56,8856 56,8856 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-20 1 1 56,9699 56,9699 56,9699 56,9699 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-21 1 1 56,4976 56,4976 56,4976 56,4976 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-22 1 1 57,0595 57,0595 57,0595 57,0595 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-25 1 1 57,2047 57,2047 57,2047 57,2047 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-26 1 1 57,0195 57,0195 57,0195 57,0195 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-27 1 1 56,4583 56,4583 56,4583 56,4583 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-28 1 1 56,4791 56,4791 56,4791 56,4791 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-04-29 1 1 56,5649 56,5649 56,5649 56,5649 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-02 1 1 57,2007 57,2007 57,2007 57,2007 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-03 1 1 57,3197 57,3197 57,3197 57,3197 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-04 1 1 57,0086 57,0086 57,0086 57,0086 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-06 1 1 58,1653 58,1653 58,1653 58,1653 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-09 1 1 58,1165 58,1165 58,1165 58,1165 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-10 1 1 58,0676 58,0676 58,0676 58,0676 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-11 1 1 57,9123 57,9123 57,9123 57,9123 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-12 1 1 58,3481 58,3481 58,3481 58,3481 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-13 1 1 58,2672 58,2672 58,2672 58,2672 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-16 1 1 58,1982 58,1982 58,1982 58,1982 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-17 1 1 58,421 58,421 58,421 58,421 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-18 1 1 58,9332 58,9332 58,9332 58,9332 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-19 1 1 59,3426 59,3426 59,3426 59,3426 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-20 1 1 59,3896 59,3896 59,3896 59,3896 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-23 1 1 59,3596 59,3596 59,3596 59,3596 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-24 1 1 59,4481 59,4481 59,4481 59,4481 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-25 1 1 59,5337 59,5337 59,5337 59,5337 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-26 1 1 59,8627 59,8627 59,8627 59,8627 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-27 1 1 60,1309 60,1309 60,1309 60,1309 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-30 1 1 60,2904 60,2904 60,2904 60,2904 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-05-31 1 1 60,6111 60,6111 60,6111 60,6111 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-01 1 1 60,7352 60,7352 60,7352 60,7352 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-02 1 1 61,0381 61,0381 61,0381 61,0381 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-03 1 1 61,1391 61,1391 61,1391 61,1391 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-07 1 1 61,2783 61,2783 61,2783 61,2783 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-08 1 1 61,5075 61,5075 61,5075 61,5075 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-09 1 1 61,6117 61,6117 61,6117 61,6117 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-10 1 1 62,4377 62,4377 62,4377 62,4377 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-13 1 1 62,9193 62,9193 62,9193 62,9193 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-14 1 1 63,1207 63,1207 63,1207 63,1207 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-15 1 1 63,2446 63,2446 63,2446 63,2446 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-16 1 1 63,2161 63,2161 63,2161 63,2161 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-17 1 1 63,2363 63,2363 63,2363 63,2363 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-20 1 1 63,1164 63,1164 63,1164 63,1164 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-21 1 1 63,5387 63,5387 63,5387 63,5387 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-22 1 1 63,9917 63,9917 63,9917 63,9917 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-23 1 1 64,7487 64,7487 64,7487 64,7487 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-27 1 1 63,5393 63,5393 63,5393 63,5393 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-28 1 1 63,9483 63,9483 63,9483 63,9483 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-29 1 1 64,5967 64,5967 64,5967 64,5967 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-06-30 1 1 64,6002 64,6002 64,6002 64,6002 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-01 1 1 64,6855 64,6855 64,6855 64,6855 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-04 1 1 65,3128 65,3128 65,3128 65,3128 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-05 1 1 64,9747 64,9747 64,9747 64,9747 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-06 1 1 65,2612 65,2612 65,2612 65,2612 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-07 1 1 64,4467 64,4467 64,4467 64,4467 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-08 1 1 65,0004 65,0004 65,0004 65,0004 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-11 1 1 65,9739 65,9739 65,9739 65,9739 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-12 1 1 65,5544 65,5544 65,5544 65,5544 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-13 1 1 65,4684 65,4684 65,4684 65,4684 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-14 1 1 65,818 65,818 65,818 65,818 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-15 1 1 65,88 65,88 65,88 65,88 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-18 1 1 65,6572 65,6572 65,6572 65,6572 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-19 1 1 66,0709 66,0709 66,0709 66,0709 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-20 1 1 66,0168 66,0168 66,0168 66,0168 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-21 1 1 66,3009 66,3009 66,3009 66,3009 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-22 1 1 66,1457 66,1457 66,1457 66,1457 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-25 1 1 66,3344 66,3344 66,3344 66,3344 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-26 1 1 66,7012 66,7012 66,7012 66,7012 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-27 1 1 66,7369 66,7369 66,7369 66,7369 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-28 1 1 66,8849 66,8849 66,8849 66,8849 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-07-29 1 1 67,0125 67,0125 67,0125 67,0125 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-01 1 1 66,5351 66,5351 66,5351 66,5351 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-02 1 1 66,7025 66,7025 66,7025 66,7025 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-03 1 1 66,6502 66,6502 66,6502 66,6502 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-04 1 1 65,9305 65,9305 65,9305 65,9305 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-05 1 1 65,4868 65,4868 65,4868 65,4868 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-08 1 1 65,3653 65,3653 65,3653 65,3653 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-09 1 1 65,5438 65,5438 65,5438 65,5438 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-10 1 1 66,3212 66,3212 66,3212 66,3212 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-11 1 1 66,0055 66,0055 66,0055 66,0055 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-12 1 1 66,0854 66,0854 66,0854 66,0854 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-15 1 1 66,1356 66,1356 66,1356 66,1356 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-16 1 1 66,4184 66,4184 66,4184 66,4184 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-17 1 1 65,8865 65,8865 65,8865 65,8865 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-18 1 1 66,0604 66,0604 66,0604 66,0604 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-19 1 1 66,5564 66,5564 66,5564 66,5564 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-22 1 1 66,7738 66,7738 66,7738 66,7738 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-23 1 1 66,4693 66,4693 66,4693 66,4693 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-24 1 1 65,7753 65,7753 65,7753 65,7753 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-25 1 1 65,4582 65,4582 65,4582 65,4582 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-26 1 1 65,1457 65,1457 65,1457 65,1457 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-29 1 1 65,0043 65,0043 65,0043 65,0043 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-30 1 1 65,7082 65,7082 65,7082 65,7082 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-08-31 1 1 65,6878 65,6878 65,6878 65,6878 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-01 1 1 65,8075 65,8075 65,8075 65,8075 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-02 1 1 65,2647 65,2647 65,2647 65,2647 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-05 1 1 65,3491 65,3491 65,3491 65,3491 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-06 1 1 65,9438 65,9438 65,9438 65,9438 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-07 1 1 66,4489 66,4489 66,4489 66,4489 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-08 1 1 66,5298 66,5298 66,5298 66,5298 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-09 1 1 66,8599 66,8599 66,8599 66,8599 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-12 1 1 67,4894 67,4894 67,4894 67,4894 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-13 1 1 67,5943 67,5943 67,5943 67,5943 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-14 1 1 67,5787 67,5787 67,5787 67,5787 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-15 1 1 67,7981 67,7981 67,7981 67,7981 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-16 1 1 67,898 67,898 67,898 67,898 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-19 1 1 68,2958 68,2958 68,2958 68,2958 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-20 1 1 68,4688 68,4688 68,4688 68,4688 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-21 1 1 67,7171 67,7171 67,7171 67,7171 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-22 1 1 67,5752 67,5752 67,5752 67,5752 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-23 1 1 68,0827 68,0827 68,0827 68,0827 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-26 1 1 69,0573 69,0573 69,0573 69,0573 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-27 1 1 69,1931 69,1931 69,1931 69,1931 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-28 1 1 69,7015 69,7015 69,7015 69,7015 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-29 1 1 69,7062 69,7062 69,7062 69,7062 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-09-30 1 1 69,8261 69,8261 69,8261 69,8261 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-03 1 1 70,2238 70,2238 70,2238 70,2238 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-04 1 1 70,4412 70,4412 70,4412 70,4412 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-05 1 1 69,1175 69,1175 69,1175 69,1175 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-06 1 1 67,4802 67,4802 67,4802 67,4802 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-07 1 1 67,5007 67,5007 67,5007 67,5007 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-10 1 1 67,7942 67,7942 67,7942 67,7942 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-11 1 1 68,3109 68,3109 68,3109 68,3109 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-12 1 1 67,9601 67,9601 67,9601 67,9601 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-13 1 1 67,5587 67,5587 67,5587 67,5587 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-14 1 1 67,7016 67,7016 67,7016 67,7016 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-17 1 1 67,9414 67,9414 67,9414 67,9414 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-18 1 1 68,014 68,014 68,014 68,014 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-19 1 1 67,0921 67,0921 67,0921 67,0921 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-20 1 1 67,7594 67,7594 67,7594 67,7594 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-21 1 1 67,0557 67,0557 67,0557 67,0557 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-24 1 1 67,9464 67,9464 67,9464 67,9464 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-25 1 1 67,8671 67,8671 67,8671 67,8671 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-26 1 1 67,9083 67,9083 67,9083 67,9083 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-27 1 1 67,4974 67,4974 67,4974 67,4974 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-28 1 1 67,4372 67,4372 67,4372 67,4372 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-10-31 1 1 68,9902 68,9902 68,9902 68,9902 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-01 1 1 69,6893 69,6893 69,6893 69,6893 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-02 1 1 70,072 70,072 70,072 70,072 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-03 1 1 71,1559 71,1559 71,1559 71,1559 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-04 1 1 71,5333 71,5333 71,5333 71,5333 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-07 1 1 72,1548 72,1548 72,1548 72,1548 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-08 1 1 71,9038 71,9038 71,9038 71,9038 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-09 1 1 71,9667 71,9667 71,9667 71,9667 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-10 1 1 72,4042 72,4042 72,4042 72,4042 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-11 1 1 72,7158 72,7158 72,7158 72,7158 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-14 1 1 72,6673 72,6673 72,6673 72,6673 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-15 1 1 72,8569 72,8569 72,8569 72,8569 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-16 1 1 72,8193 72,8193 72,8193 72,8193 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-17 1 1 73,3482 73,3482 73,3482 73,3482 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-18 1 1 73,5069 73,5069 73,5069 73,5069 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-21 1 1 73,0462 73,0462 73,0462 73,0462 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-22 1 1 73,3237 73,3237 73,3237 73,3237 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-23 1 1 73,211 73,211 73,211 73,211 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-24 1 1 73,2736 73,2736 73,2736 73,2736 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-25 1 1 73,3222 73,3222 73,3222 73,3222 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-28 1 1 73,5351 73,5351 73,5351 73,5351 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-29 1 1 73,4381 73,4381 73,4381 73,4381 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-11-30 1 1 73,1874 73,1874 73,1874 73,1874 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-01 1 1 73,7704 73,7704 73,7704 73,7704 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-02 1 1 74,1002 74,1002 74,1002 74,1002 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-05 1 1 74,0455 74,0455 74,0455 74,0455 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-06 1 1 73,7669 73,7669 73,7669 73,7669 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-07 1 1 74,3133 74,3133 74,3133 74,3133 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-08 1 1 74,0733 74,0733 74,0733 74,0733 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-12 1 1 74,2109 74,2109 74,2109 74,2109 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-13 1 1 74,3151 74,3151 74,3151 74,3151 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-14 1 1 74,0106 74,0106 74,0106 74,0106 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-15 1 1 74,0518 74,0518 74,0518 74,0518 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-16 1 1 74,3445 74,3445 74,3445 74,3445 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-19 1 1 74,2524 74,2524 74,2524 74,2524 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-20 1 1 74,1825 74,1825 74,1825 74,1825 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-21 1 1 75,2665 75,2665 75,2665 75,2665 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-22 1 1 75,4152 75,4152 75,4152 75,4152 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-23 1 1 75,5813 75,5813 75,5813 75,5813 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-27 1 1 75,8607 75,8607 75,8607 75,8607 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-28 1 1 74,9441 74,9441 74,9441 74,9441 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-29 1 1 75,456 75,456 75,456 75,456 359315 Nordea Fonder AB Nordea Premiepensionsfond 1960-64 SEK 2005-12-30 1 1 74,8984 74,8984 74,8984 74,8984 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-03 1 1 55,3821 55,3821 55,3821 55,3821 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-04 1 1 55,6161 55,6161 55,6161 55,6161 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-05 1 1 55,2324 55,2324 55,2324 55,2324 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-07 1 1 55,3591 55,3591 55,3591 55,3591 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-10 1 1 55,8212 55,8212 55,8212 55,8212 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-11 1 1 55,5186 55,5186 55,5186 55,5186 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-12 1 1 55,1556 55,1556 55,1556 55,1556 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-13 1 1 55,2871 55,2871 55,2871 55,2871 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-14 1 1 55,6218 55,6218 55,6218 55,6218 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-17 1 1 56,0913 56,0913 56,0913 56,0913 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-18 1 1 55,9479 55,9479 55,9479 55,9479 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-19 1 1 56,158 56,158 56,158 56,158 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-20 1 1 55,8333 55,8333 55,8333 55,8333 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-21 1 1 55,6584 55,6584 55,6584 55,6584 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-24 1 1 55,3149 55,3149 55,3149 55,3149 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-25 1 1 55,7089 55,7089 55,7089 55,7089 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-26 1 1 56,0141 56,0141 56,0141 56,0141 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-27 1 1 56,1087 56,1087 56,1087 56,1087 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-28 1 1 56,0984 56,0984 56,0984 56,0984 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-01-31 1 1 56,4012 56,4012 56,4012 56,4012 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-01 1 1 56,4188 56,4188 56,4188 56,4188 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-02 1 1 56,6721 56,6721 56,6721 56,6721 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-03 1 1 56,9041 56,9041 56,9041 56,9041 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-04 1 1 57,415 57,415 57,415 57,415 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-07 1 1 58,1487 58,1487 58,1487 58,1487 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-08 1 1 58,411 58,411 58,411 58,411 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-09 1 1 58,2667 58,2667 58,2667 58,2667 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-10 1 1 57,9172 57,9172 57,9172 57,9172 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-11 1 1 58,0694 58,0694 58,0694 58,0694 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-14 1 1 58,387 58,387 58,387 58,387 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-15 1 1 58,3777 58,3777 58,3777 58,3777 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-16 1 1 58,0708 58,0708 58,0708 58,0708 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-17 1 1 58,1323 58,1323 58,1323 58,1323 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-18 1 1 57,9517 57,9517 57,9517 57,9517 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-21 1 1 58,2005 58,2005 58,2005 58,2005 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-22 1 1 57,4941 57,4941 57,4941 57,4941 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-23 1 1 57,0682 57,0682 57,0682 57,0682 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-24 1 1 57,0843 57,0843 57,0843 57,0843 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-25 1 1 57,782 57,782 57,782 57,782 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-02-28 1 1 57,9732 57,9732 57,9732 57,9732 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-01 1 1 58,1183 58,1183 58,1183 58,1183 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-02 1 1 58,3376 58,3376 58,3376 58,3376 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-03 1 1 58,5327 58,5327 58,5327 58,5327 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-04 1 1 58,5467 58,5467 58,5467 58,5467 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-07 1 1 58,6011 58,6011 58,6011 58,6011 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-08 1 1 58,1646 58,1646 58,1646 58,1646 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-09 1 1 57,9255 57,9255 57,9255 57,9255 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-10 1 1 57,5712 57,5712 57,5712 57,5712 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-11 1 1 57,6843 57,6843 57,6843 57,6843 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-14 1 1 57,5603 57,5603 57,5603 57,5603 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-15 1 1 58,0199 58,0199 58,0199 58,0199 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-16 1 1 57,1707 57,1707 57,1707 57,1707 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-17 1 1 57,0742 57,0742 57,0742 57,0742 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-18 1 1 57,4808 57,4808 57,4808 57,4808 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-21 1 1 57,6024 57,6024 57,6024 57,6024 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-22 1 1 57,6219 57,6219 57,6219 57,6219 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-23 1 1 57,4772 57,4772 57,4772 57,4772 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-24 1 1 57,7008 57,7008 57,7008 57,7008 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-29 1 1 57,8453 57,8453 57,8453 57,8453 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-30 1 1 57,2981 57,2981 57,2981 57,2981 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-03-31 1 1 58,0563 58,0563 58,0563 58,0563 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-01 1 1 58,3951 58,3951 58,3951 58,3951 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-04 1 1 58,3191 58,3191 58,3191 58,3191 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-05 1 1 58,7005 58,7005 58,7005 58,7005 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-06 1 1 58,7346 58,7346 58,7346 58,7346 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-07 1 1 58,6589 58,6589 58,6589 58,6589 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-08 1 1 59,1637 59,1637 59,1637 59,1637 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-11 1 1 58,5693 58,5693 58,5693 58,5693 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-12 1 1 58,4248 58,4248 58,4248 58,4248 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-13 1 1 58,7025 58,7025 58,7025 58,7025 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-14 1 1 58,807 58,807 58,807 58,807 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-15 1 1 57,8772 57,8772 57,8772 57,8772 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-18 1 1 56,606 56,606 56,606 56,606 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-19 1 1 57,0583 57,0583 57,0583 57,0583 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-20 1 1 57,1451 57,1451 57,1451 57,1451 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-21 1 1 56,6774 56,6774 56,6774 56,6774 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-22 1 1 57,2347 57,2347 57,2347 57,2347 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-25 1 1 57,3711 57,3711 57,3711 57,3711 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-26 1 1 57,1949 57,1949 57,1949 57,1949 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-27 1 1 56,6283 56,6283 56,6283 56,6283 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-28 1 1 56,648 56,648 56,648 56,648 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-04-29 1 1 56,7363 56,7363 56,7363 56,7363 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-02 1 1 57,3591 57,3591 57,3591 57,3591 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-03 1 1 57,4719 57,4719 57,4719 57,4719 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-04 1 1 57,1653 57,1653 57,1653 57,1653 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-06 1 1 58,3762 58,3762 58,3762 58,3762 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-09 1 1 58,2715 58,2715 58,2715 58,2715 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-10 1 1 58,2243 58,2243 58,2243 58,2243 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-11 1 1 58,0782 58,0782 58,0782 58,0782 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-12 1 1 58,4835 58,4835 58,4835 58,4835 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-13 1 1 58,402 58,402 58,402 58,402 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-16 1 1 58,3365 58,3365 58,3365 58,3365 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-17 1 1 58,5445 58,5445 58,5445 58,5445 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-18 1 1 59,0548 59,0548 59,0548 59,0548 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-19 1 1 59,4575 59,4575 59,4575 59,4575 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-20 1 1 59,4967 59,4967 59,4967 59,4967 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-23 1 1 59,4667 59,4667 59,4667 59,4667 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-24 1 1 59,5608 59,5608 59,5608 59,5608 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-25 1 1 59,649 59,649 59,649 59,649 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-26 1 1 59,9784 59,9784 59,9784 59,9784 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-27 1 1 60,2469 60,2469 60,2469 60,2469 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-30 1 1 60,4103 60,4103 60,4103 60,4103 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-05-31 1 1 60,733 60,733 60,733 60,733 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-01 1 1 60,8521 60,8521 60,8521 60,8521 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-02 1 1 61,177 61,177 61,177 61,177 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-03 1 1 61,278 61,278 61,278 61,278 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-07 1 1 61,4225 61,4225 61,4225 61,4225 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-08 1 1 61,6498 61,6498 61,6498 61,6498 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-09 1 1 61,7803 61,7803 61,7803 61,7803 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-10 1 1 62,607 62,607 62,607 62,607 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-13 1 1 63,0565 63,0565 63,0565 63,0565 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-14 1 1 63,2557 63,2557 63,2557 63,2557 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-15 1 1 63,3725 63,3725 63,3725 63,3725 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-16 1 1 63,3488 63,3488 63,3488 63,3488 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-17 1 1 63,3719 63,3719 63,3719 63,3719 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-20 1 1 63,2486 63,2486 63,2486 63,2486 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-21 1 1 63,669 63,669 63,669 63,669 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-22 1 1 64,136 64,136 64,136 64,136 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-23 1 1 64,8908 64,8908 64,8908 64,8908 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-27 1 1 63,6993 63,6993 63,6993 63,6993 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-28 1 1 64,1065 64,1065 64,1065 64,1065 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-29 1 1 64,717 64,717 64,717 64,717 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-06-30 1 1 64,7808 64,7808 64,7808 64,7808 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-01 1 1 64,8692 64,8692 64,8692 64,8692 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-04 1 1 65,4865 65,4865 65,4865 65,4865 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-05 1 1 65,1455 65,1455 65,1455 65,1455 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-06 1 1 65,4257 65,4257 65,4257 65,4257 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-07 1 1 64,6188 64,6188 64,6188 64,6188 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-08 1 1 65,1767 65,1767 65,1767 65,1767 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-11 1 1 66,1488 66,1488 66,1488 66,1488 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-12 1 1 65,729 65,729 65,729 65,729 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-13 1 1 65,6356 65,6356 65,6356 65,6356 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-14 1 1 66,0097 66,0097 66,0097 66,0097 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-15 1 1 66,0697 66,0697 66,0697 66,0697 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-18 1 1 65,8451 65,8451 65,8451 65,8451 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-19 1 1 66,2559 66,2559 66,2559 66,2559 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-20 1 1 66,2029 66,2029 66,2029 66,2029 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-21 1 1 66,4873 66,4873 66,4873 66,4873 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-22 1 1 66,3101 66,3101 66,3101 66,3101 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-25 1 1 66,4965 66,4965 66,4965 66,4965 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-26 1 1 66,8703 66,8703 66,8703 66,8703 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-27 1 1 66,9045 66,9045 66,9045 66,9045 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-28 1 1 67,0437 67,0437 67,0437 67,0437 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-07-29 1 1 67,1743 67,1743 67,1743 67,1743 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-01 1 1 66,7027 66,7027 66,7027 66,7027 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-02 1 1 66,8655 66,8655 66,8655 66,8655 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-03 1 1 66,8161 66,8161 66,8161 66,8161 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-04 1 1 66,0952 66,0952 66,0952 66,0952 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-05 1 1 65,6524 65,6524 65,6524 65,6524 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-08 1 1 65,5343 65,5343 65,5343 65,5343 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-09 1 1 65,717 65,717 65,717 65,717 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-10 1 1 66,4828 66,4828 66,4828 66,4828 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-11 1 1 66,171 66,171 66,171 66,171 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-12 1 1 66,255 66,255 66,255 66,255 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-15 1 1 66,2965 66,2965 66,2965 66,2965 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-16 1 1 66,5788 66,5788 66,5788 66,5788 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-17 1 1 66,0487 66,0487 66,0487 66,0487 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-18 1 1 66,2182 66,2182 66,2182 66,2182 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-19 1 1 66,7168 66,7168 66,7168 66,7168 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-22 1 1 66,9354 66,9354 66,9354 66,9354 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-23 1 1 66,6257 66,6257 66,6257 66,6257 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-24 1 1 65,9344 65,9344 65,9344 65,9344 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-25 1 1 65,6228 65,6228 65,6228 65,6228 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-26 1 1 65,307 65,307 65,307 65,307 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-29 1 1 65,1647 65,1647 65,1647 65,1647 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-30 1 1 65,8778 65,8778 65,8778 65,8778 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-08-31 1 1 65,8626 65,8626 65,8626 65,8626 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-01 1 1 65,9789 65,9789 65,9789 65,9789 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-02 1 1 65,4389 65,4389 65,4389 65,4389 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-05 1 1 65,5259 65,5259 65,5259 65,5259 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-06 1 1 66,1153 66,1153 66,1153 66,1153 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-07 1 1 66,6211 66,6211 66,6211 66,6211 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-08 1 1 66,6991 66,6991 66,6991 66,6991 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-09 1 1 67,0381 67,0381 67,0381 67,0381 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-12 1 1 67,658 67,658 67,658 67,658 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-13 1 1 67,7615 67,7615 67,7615 67,7615 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-14 1 1 67,7448 67,7448 67,7448 67,7448 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-15 1 1 67,9587 67,9587 67,9587 67,9587 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-16 1 1 68,0587 68,0587 68,0587 68,0587 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-19 1 1 68,4574 68,4574 68,4574 68,4574 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-20 1 1 68,6273 68,6273 68,6273 68,6273 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-21 1 1 67,8802 67,8802 67,8802 67,8802 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-22 1 1 67,7366 67,7366 67,7366 67,7366 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-23 1 1 68,247 68,247 68,247 68,247 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-26 1 1 69,2202 69,2202 69,2202 69,2202 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-27 1 1 69,3504 69,3504 69,3504 69,3504 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-28 1 1 69,8639 69,8639 69,8639 69,8639 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-29 1 1 69,865 69,865 69,865 69,865 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-09-30 1 1 69,9797 69,9797 69,9797 69,9797 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-03 1 1 70,3788 70,3788 70,3788 70,3788 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-04 1 1 70,6 70,6 70,6 70,6 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-05 1 1 69,8809 69,8809 69,8809 69,8809 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-06 1 1 67,635 67,635 67,635 67,635 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-07 1 1 67,6551 67,6551 67,6551 67,6551 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-10 1 1 67,9467 67,9467 67,9467 67,9467 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-11 1 1 68,4644 68,4644 68,4644 68,4644 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-12 1 1 68,1061 68,1061 68,1061 68,1061 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-13 1 1 67,7102 67,7102 67,7102 67,7102 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-14 1 1 67,8485 67,8485 67,8485 67,8485 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-17 1 1 68,0841 68,0841 68,0841 68,0841 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-18 1 1 68,152 68,152 68,152 68,152 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-19 1 1 67,2307 67,2307 67,2307 67,2307 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-20 1 1 67,8941 67,8941 67,8941 67,8941 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-21 1 1 67,1883 67,1883 67,1883 67,1883 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-24 1 1 68,0811 68,0811 68,0811 68,0811 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-25 1 1 68,0004 68,0004 68,0004 68,0004 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-26 1 1 68,0397 68,0397 68,0397 68,0397 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-27 1 1 67,6261 67,6261 67,6261 67,6261 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-28 1 1 67,564 67,564 67,564 67,564 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-10-31 1 1 69,1276 69,1276 69,1276 69,1276 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-01 1 1 69,8342 69,8342 69,8342 69,8342 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-02 1 1 70,2107 70,2107 70,2107 70,2107 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-03 1 1 71,2942 71,2942 71,2942 71,2942 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-04 1 1 71,6767 71,6767 71,6767 71,6767 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-07 1 1 72,3034 72,3034 72,3034 72,3034 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-08 1 1 72,0488 72,0488 72,0488 72,0488 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-09 1 1 72,1173 72,1173 72,1173 72,1173 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-10 1 1 72,5582 72,5582 72,5582 72,5582 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-11 1 1 72,871 72,871 72,871 72,871 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-14 1 1 72,8187 72,8187 72,8187 72,8187 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-15 1 1 73,0089 73,0089 73,0089 73,0089 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-16 1 1 72,971 72,971 72,971 72,971 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-17 1 1 73,5015 73,5015 73,5015 73,5015 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-18 1 1 73,6635 73,6635 73,6635 73,6635 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-21 1 1 73,2069 73,2069 73,2069 73,2069 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-22 1 1 73,4815 73,4815 73,4815 73,4815 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-23 1 1 73,3721 73,3721 73,3721 73,3721 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-24 1 1 73,4386 73,4386 73,4386 73,4386 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-25 1 1 73,4821 73,4821 73,4821 73,4821 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-28 1 1 73,6948 73,6948 73,6948 73,6948 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-29 1 1 73,5963 73,5963 73,5963 73,5963 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-11-30 1 1 73,3461 73,3461 73,3461 73,3461 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-01 1 1 73,9171 73,9171 73,9171 73,9171 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-02 1 1 74,2604 74,2604 74,2604 74,2604 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-05 1 1 74,2046 74,2046 74,2046 74,2046 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-06 1 1 73,9239 73,9239 73,9239 73,9239 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-07 1 1 74,4703 74,4703 74,4703 74,4703 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-08 1 1 74,2308 74,2308 74,2308 74,2308 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-12 1 1 74,366 74,366 74,366 74,366 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-13 1 1 74,4708 74,4708 74,4708 74,4708 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-14 1 1 74,1692 74,1692 74,1692 74,1692 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-15 1 1 74,2113 74,2113 74,2113 74,2113 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-16 1 1 74,5042 74,5042 74,5042 74,5042 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-19 1 1 74,4134 74,4134 74,4134 74,4134 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-20 1 1 74,3436 74,3436 74,3436 74,3436 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-21 1 1 75,4285 75,4285 75,4285 75,4285 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-22 1 1 75,5768 75,5768 75,5768 75,5768 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-23 1 1 75,7455 75,7455 75,7455 75,7455 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-27 1 1 76,0236 76,0236 76,0236 76,0236 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-28 1 1 75,1026 75,1026 75,1026 75,1026 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-29 1 1 75,6139 75,6139 75,6139 75,6139 323485 Nordea Fonder AB Nordea Premiepensionsfond 1965-69 SEK 2005-12-30 1 1 75,0523 75,0523 75,0523 75,0523 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-03 1 1 55,8188 55,8188 55,8188 55,8188 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-04 1 1 56,0481 56,0481 56,0481 56,0481 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-05 1 1 55,6629 55,6629 55,6629 55,6629 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-07 1 1 55,7884 55,7884 55,7884 55,7884 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-10 1 1 56,2431 56,2431 56,2431 56,2431 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-11 1 1 55,9413 55,9413 55,9413 55,9413 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-12 1 1 55,5794 55,5794 55,5794 55,5794 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-13 1 1 55,7117 55,7117 55,7117 55,7117 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-14 1 1 56,04 56,04 56,04 56,04 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-17 1 1 56,5284 56,5284 56,5284 56,5284 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-18 1 1 56,38 56,38 56,38 56,38 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-19 1 1 56,5931 56,5931 56,5931 56,5931 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-20 1 1 56,2672 56,2672 56,2672 56,2672 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-21 1 1 56,0898 56,0898 56,0898 56,0898 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-24 1 1 55,7382 55,7382 55,7382 55,7382 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-25 1 1 56,1285 56,1285 56,1285 56,1285 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-26 1 1 56,4336 56,4336 56,4336 56,4336 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-27 1 1 56,5295 56,5295 56,5295 56,5295 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-28 1 1 56,5172 56,5172 56,5172 56,5172 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-01-31 1 1 56,8194 56,8194 56,8194 56,8194 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-01 1 1 56,8381 56,8381 56,8381 56,8381 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-02 1 1 57,0896 57,0896 57,0896 57,0896 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-03 1 1 57,3224 57,3224 57,3224 57,3224 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-04 1 1 57,8304 57,8304 57,8304 57,8304 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-07 1 1 58,5659 58,5659 58,5659 58,5659 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-08 1 1 58,833 58,833 58,833 58,833 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-09 1 1 58,6919 58,6919 58,6919 58,6919 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-10 1 1 58,3416 58,3416 58,3416 58,3416 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-11 1 1 58,4943 58,4943 58,4943 58,4943 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-14 1 1 58,8106 58,8106 58,8106 58,8106 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-15 1 1 58,8007 58,8007 58,8007 58,8007 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-16 1 1 58,5017 58,5017 58,5017 58,5017 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-17 1 1 58,5635 58,5635 58,5635 58,5635 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-18 1 1 58,381 58,381 58,381 58,381 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-21 1 1 58,6339 58,6339 58,6339 58,6339 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-22 1 1 57,9211 57,9211 57,9211 57,9211 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-23 1 1 57,4924 57,4924 57,4924 57,4924 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-24 1 1 57,5031 57,5031 57,5031 57,5031 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-25 1 1 58,2039 58,2039 58,2039 58,2039 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-02-28 1 1 58,393 58,393 58,393 58,393 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-01 1 1 58,5377 58,5377 58,5377 58,5377 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-02 1 1 58,7557 58,7557 58,7557 58,7557 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-03 1 1 58,9373 58,9373 58,9373 58,9373 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-04 1 1 58,9518 58,9518 58,9518 58,9518 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-07 1 1 59,0093 59,0093 59,0093 59,0093 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-08 1 1 58,5715 58,5715 58,5715 58,5715 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-09 1 1 58,3247 58,3247 58,3247 58,3247 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-10 1 1 57,972 57,972 57,972 57,972 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-11 1 1 58,0848 58,0848 58,0848 58,0848 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-14 1 1 57,9555 57,9555 57,9555 57,9555 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-15 1 1 58,4264 58,4264 58,4264 58,4264 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-16 1 1 57,5632 57,5632 57,5632 57,5632 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-17 1 1 57,4659 57,4659 57,4659 57,4659 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-18 1 1 57,8774 57,8774 57,8774 57,8774 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-21 1 1 57,995 57,995 57,995 57,995 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-22 1 1 58,0241 58,0241 58,0241 58,0241 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-23 1 1 57,8713 57,8713 57,8713 57,8713 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-24 1 1 58,097 58,097 58,097 58,097 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-29 1 1 58,2507 58,2507 58,2507 58,2507 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-30 1 1 57,6939 57,6939 57,6939 57,6939 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-03-31 1 1 58,4567 58,4567 58,4567 58,4567 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-01 1 1 58,7921 58,7921 58,7921 58,7921 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-04 1 1 58,7076 58,7076 58,7076 58,7076 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-05 1 1 59,0944 59,0944 59,0944 59,0944 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-06 1 1 59,1331 59,1331 59,1331 59,1331 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-07 1 1 59,0544 59,0544 59,0544 59,0544 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-08 1 1 59,5676 59,5676 59,5676 59,5676 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-11 1 1 58,9682 58,9682 58,9682 58,9682 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-12 1 1 58,8255 58,8255 58,8255 58,8255 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-13 1 1 59,1144 59,1144 59,1144 59,1144 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-14 1 1 59,2252 59,2252 59,2252 59,2252 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-15 1 1 58,2881 58,2881 58,2881 58,2881 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-18 1 1 57,006 57,006 57,006 57,006 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-19 1 1 57,4625 57,4625 57,4625 57,4625 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-20 1 1 57,5513 57,5513 57,5513 57,5513 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-21 1 1 57,0614 57,0614 57,0614 57,0614 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-22 1 1 57,6282 57,6282 57,6282 57,6282 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-25 1 1 57,765 57,765 57,765 57,765 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-26 1 1 57,5856 57,5856 57,5856 57,5856 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-27 1 1 57,0195 57,0195 57,0195 57,0195 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-28 1 1 57,0464 57,0464 57,0464 57,0464 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-04-29 1 1 57,1269 57,1269 57,1269 57,1269 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-02 1 1 57,7616 57,7616 57,7616 57,7616 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-03 1 1 57,8801 57,8801 57,8801 57,8801 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-04 1 1 57,5713 57,5713 57,5713 57,5713 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-06 1 1 58,787 58,787 58,787 58,787 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-09 1 1 58,6819 58,6819 58,6819 58,6819 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-10 1 1 58,6354 58,6354 58,6354 58,6354 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-11 1 1 58,4844 58,4844 58,4844 58,4844 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-12 1 1 58,9212 58,9212 58,9212 58,9212 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-13 1 1 58,8315 58,8315 58,8315 58,8315 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-16 1 1 58,7612 58,7612 58,7612 58,7612 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-17 1 1 58,9893 58,9893 58,9893 58,9893 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-18 1 1 59,5034 59,5034 59,5034 59,5034 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-19 1 1 59,9087 59,9087 59,9087 59,9087 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-20 1 1 59,9531 59,9531 59,9531 59,9531 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-23 1 1 59,9203 59,9203 59,9203 59,9203 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-24 1 1 60,0117 60,0117 60,0117 60,0117 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-25 1 1 60,1025 60,1025 60,1025 60,1025 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-26 1 1 60,4344 60,4344 60,4344 60,4344 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-27 1 1 60,7105 60,7105 60,7105 60,7105 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-30 1 1 60,873 60,873 60,873 60,873 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-05-31 1 1 61,2003 61,2003 61,2003 61,2003 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-01 1 1 61,3179 61,3179 61,3179 61,3179 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-02 1 1 61,6265 61,6265 61,6265 61,6265 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-03 1 1 61,73 61,73 61,73 61,73 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-07 1 1 61,8719 61,8719 61,8719 61,8719 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-08 1 1 62,1009 62,1009 62,1009 62,1009 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-09 1 1 62,2327 62,2327 62,2327 62,2327 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-10 1 1 63,0616 63,0616 63,0616 63,0616 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-13 1 1 63,5198 63,5198 63,5198 63,5198 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-14 1 1 63,7207 63,7207 63,7207 63,7207 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-15 1 1 63,8389 63,8389 63,8389 63,8389 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-16 1 1 63,8186 63,8186 63,8186 63,8186 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-17 1 1 63,8382 63,8382 63,8382 63,8382 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-20 1 1 63,7219 63,7219 63,7219 63,7219 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-21 1 1 64,1505 64,1505 64,1505 64,1505 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-22 1 1 64,6038 64,6038 64,6038 64,6038 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-23 1 1 65,3551 65,3551 65,3551 65,3551 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-27 1 1 64,1508 64,1508 64,1508 64,1508 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-28 1 1 64,5635 64,5635 64,5635 64,5635 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-29 1 1 65,213 65,213 65,213 65,213 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-06-30 1 1 65,2634 65,2634 65,2634 65,2634 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-01 1 1 65,3445 65,3445 65,3445 65,3445 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-04 1 1 65,9745 65,9745 65,9745 65,9745 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-05 1 1 65,6343 65,6343 65,6343 65,6343 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-06 1 1 65,919 65,919 65,919 65,919 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-07 1 1 65,0951 65,0951 65,0951 65,0951 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-08 1 1 65,6315 65,6315 65,6315 65,6315 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-11 1 1 66,6043 66,6043 66,6043 66,6043 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-12 1 1 66,183 66,183 66,183 66,183 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-13 1 1 66,0948 66,0948 66,0948 66,0948 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-14 1 1 66,4424 66,4424 66,4424 66,4424 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-15 1 1 66,5068 66,5068 66,5068 66,5068 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-18 1 1 66,2769 66,2769 66,2769 66,2769 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-19 1 1 66,6966 66,6966 66,6966 66,6966 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-20 1 1 66,6438 66,6438 66,6438 66,6438 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-21 1 1 66,9417 66,9417 66,9417 66,9417 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-22 1 1 66,7655 66,7655 66,7655 66,7655 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-25 1 1 66,9434 66,9434 66,9434 66,9434 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-26 1 1 67,3158 67,3158 67,3158 67,3158 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-27 1 1 67,3489 67,3489 67,3489 67,3489 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-28 1 1 67,4964 67,4964 67,4964 67,4964 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-07-29 1 1 67,62 67,62 67,62 67,62 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-01 1 1 67,1447 67,1447 67,1447 67,1447 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-02 1 1 67,3082 67,3082 67,3082 67,3082 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-03 1 1 67,2574 67,2574 67,2574 67,2574 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-04 1 1 66,53 66,53 66,53 66,53 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-05 1 1 66,0839 66,0839 66,0839 66,0839 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-08 1 1 65,9661 65,9661 65,9661 65,9661 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-09 1 1 66,1404 66,1404 66,1404 66,1404 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-10 1 1 66,9176 66,9176 66,9176 66,9176 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-11 1 1 66,5981 66,5981 66,5981 66,5981 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-12 1 1 66,6761 66,6761 66,6761 66,6761 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-15 1 1 66,7248 66,7248 66,7248 66,7248 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-16 1 1 67,0107 67,0107 67,0107 67,0107 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-17 1 1 66,4731 66,4731 66,4731 66,4731 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-18 1 1 66,6434 66,6434 66,6434 66,6434 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-19 1 1 67,1582 67,1582 67,1582 67,1582 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-22 1 1 67,3725 67,3725 67,3725 67,3725 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-23 1 1 67,0596 67,0596 67,0596 67,0596 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-24 1 1 66,3664 66,3664 66,3664 66,3664 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-25 1 1 66,0535 66,0535 66,0535 66,0535 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-26 1 1 65,7418 65,7418 65,7418 65,7418 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-29 1 1 65,5967 65,5967 65,5967 65,5967 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-30 1 1 66,3184 66,3184 66,3184 66,3184 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-08-31 1 1 66,2967 66,2967 66,2967 66,2967 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-01 1 1 66,4148 66,4148 66,4148 66,4148 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-02 1 1 65,8683 65,8683 65,8683 65,8683 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-05 1 1 65,9523 65,9523 65,9523 65,9523 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-06 1 1 66,5498 66,5498 66,5498 66,5498 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-07 1 1 67,0592 67,0592 67,0592 67,0592 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-08 1 1 67,1402 67,1402 67,1402 67,1402 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-09 1 1 67,4703 67,4703 67,4703 67,4703 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-12 1 1 68,086 68,086 68,086 68,086 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-13 1 1 68,1894 68,1894 68,1894 68,1894 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-14 1 1 68,1749 68,1749 68,1749 68,1749 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-15 1 1 68,3895 68,3895 68,3895 68,3895 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-16 1 1 68,492 68,492 68,492 68,492 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-19 1 1 68,8899 68,8899 68,8899 68,8899 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-20 1 1 69,0601 69,0601 69,0601 69,0601 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-21 1 1 68,3108 68,3108 68,3108 68,3108 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-22 1 1 68,1608 68,1608 68,1608 68,1608 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-23 1 1 68,6831 68,6831 68,6831 68,6831 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-26 1 1 69,6613 69,6613 69,6613 69,6613 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-27 1 1 69,7972 69,7972 69,7972 69,7972 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-28 1 1 70,3105 70,3105 70,3105 70,3105 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-29 1 1 70,3194 70,3194 70,3194 70,3194 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-09-30 1 1 70,4392 70,4392 70,4392 70,4392 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-03 1 1 70,8386 70,8386 70,8386 70,8386 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-04 1 1 71,0616 71,0616 71,0616 71,0616 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-05 1 1 70,3347 70,3347 70,3347 70,3347 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-06 1 1 68,0803 68,0803 68,0803 68,0803 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-07 1 1 68,1029 68,1029 68,1029 68,1029 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-10 1 1 68,3972 68,3972 68,3972 68,3972 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-11 1 1 68,9159 68,9159 68,9159 68,9159 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-12 1 1 68,5565 68,5565 68,5565 68,5565 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-13 1 1 68,1525 68,1525 68,1525 68,1525 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-14 1 1 68,289 68,289 68,289 68,289 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-17 1 1 68,5253 68,5253 68,5253 68,5253 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-18 1 1 68,6024 68,6024 68,6024 68,6024 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-19 1 1 67,6685 67,6685 67,6685 67,6685 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-20 1 1 68,3455 68,3455 68,3455 68,3455 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-21 1 1 67,6327 67,6327 67,6327 67,6327 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-24 1 1 68,5355 68,5355 68,5355 68,5355 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-25 1 1 68,4494 68,4494 68,4494 68,4494 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-26 1 1 68,4932 68,4932 68,4932 68,4932 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-27 1 1 68,0722 68,0722 68,0722 68,0722 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-28 1 1 68,0141 68,0141 68,0141 68,0141 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-10-31 1 1 69,5906 69,5906 69,5906 69,5906 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-01 1 1 70,2909 70,2909 70,2909 70,2909 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-02 1 1 70,6765 70,6765 70,6765 70,6765 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-03 1 1 71,7672 71,7672 71,7672 71,7672 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-04 1 1 72,148 72,148 72,148 72,148 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-07 1 1 72,7801 72,7801 72,7801 72,7801 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-08 1 1 72,5275 72,5275 72,5275 72,5275 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-09 1 1 72,5969 72,5969 72,5969 72,5969 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-10 1 1 73,0428 73,0428 73,0428 73,0428 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-11 1 1 73,3557 73,3557 73,3557 73,3557 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-14 1 1 73,3037 73,3037 73,3037 73,3037 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-15 1 1 73,4978 73,4978 73,4978 73,4978 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-16 1 1 73,4618 73,4618 73,4618 73,4618 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-17 1 1 73,9881 73,9881 73,9881 73,9881 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-18 1 1 74,1472 74,1472 74,1472 74,1472 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-21 1 1 73,6868 73,6868 73,6868 73,6868 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-22 1 1 73,9633 73,9633 73,9633 73,9633 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-23 1 1 73,8533 73,8533 73,8533 73,8533 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-24 1 1 73,9194 73,9194 73,9194 73,9194 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-25 1 1 73,9666 73,9666 73,9666 73,9666 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-28 1 1 74,1824 74,1824 74,1824 74,1824 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-29 1 1 74,0822 74,0822 74,0822 74,0822 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-11-30 1 1 73,8318 73,8318 73,8318 73,8318 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-01 1 1 74,4181 74,4181 74,4181 74,4181 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-02 1 1 74,7485 74,7485 74,7485 74,7485 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-05 1 1 74,6929 74,6929 74,6929 74,6929 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-06 1 1 74,4134 74,4134 74,4134 74,4134 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-07 1 1 74,9603 74,9603 74,9603 74,9603 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-08 1 1 74,7215 74,7215 74,7215 74,7215 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-12 1 1 74,8554 74,8554 74,8554 74,8554 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-13 1 1 74,9583 74,9583 74,9583 74,9583 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-14 1 1 74,6502 74,6502 74,6502 74,6502 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-15 1 1 74,6926 74,6926 74,6926 74,6926 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-16 1 1 74,9852 74,9852 74,9852 74,9852 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-19 1 1 74,8922 74,8922 74,8922 74,8922 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-20 1 1 74,8208 74,8208 74,8208 74,8208 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-21 1 1 75,9116 75,9116 75,9116 75,9116 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-22 1 1 76,0617 76,0617 76,0617 76,0617 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-23 1 1 76,2291 76,2291 76,2291 76,2291 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-27 1 1 76,51 76,51 76,51 76,51 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-28 1 1 75,5873 75,5873 75,5873 75,5873 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-29 1 1 76,1022 76,1022 76,1022 76,1022 287656 Nordea Fonder AB Nordea Premiepensionsfond 1970-74 SEK 2005-12-30 1 1 75,5383 75,5383 75,5383 75,5383 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-03 1 1 53,1379 53,1379 53,1379 53,1379 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-04 1 1 53,3652 53,3652 53,3652 53,3652 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-05 1 1 53,0008 53,0008 53,0008 53,0008 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-07 1 1 53,1275 53,1275 53,1275 53,1275 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-10 1 1 53,5665 53,5665 53,5665 53,5665 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-11 1 1 53,2925 53,2925 53,2925 53,2925 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-12 1 1 52,9664 52,9664 52,9664 52,9664 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-13 1 1 53,0894 53,0894 53,0894 53,0894 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-14 1 1 53,3944 53,3944 53,3944 53,3944 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-17 1 1 53,8341 53,8341 53,8341 53,8341 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-18 1 1 53,6979 53,6979 53,6979 53,6979 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-19 1 1 53,8953 53,8953 53,8953 53,8953 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-20 1 1 53,5838 53,5838 53,5838 53,5838 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-21 1 1 53,4039 53,4039 53,4039 53,4039 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-24 1 1 53,0759 53,0759 53,0759 53,0759 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-25 1 1 53,4501 53,4501 53,4501 53,4501 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-26 1 1 53,7537 53,7537 53,7537 53,7537 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-27 1 1 53,8461 53,8461 53,8461 53,8461 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-28 1 1 53,8325 53,8325 53,8325 53,8325 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-01-31 1 1 54,1215 54,1215 54,1215 54,1215 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-01 1 1 54,1339 54,1339 54,1339 54,1339 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-02 1 1 54,3705 54,3705 54,3705 54,3705 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-03 1 1 54,5905 54,5905 54,5905 54,5905 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-04 1 1 55,0774 55,0774 55,0774 55,0774 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-07 1 1 55,7855 55,7855 55,7855 55,7855 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-08 1 1 56,0401 56,0401 56,0401 56,0401 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-09 1 1 55,9039 55,9039 55,9039 55,9039 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-10 1 1 55,5761 55,5761 55,5761 55,5761 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-11 1 1 55,7214 55,7214 55,7214 55,7214 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-14 1 1 56,0213 56,0213 56,0213 56,0213 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-15 1 1 56,0124 56,0124 56,0124 56,0124 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-16 1 1 55,7225 55,7225 55,7225 55,7225 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-17 1 1 55,779 55,779 55,779 55,779 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-18 1 1 55,6036 55,6036 55,6036 55,6036 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-21 1 1 55,8442 55,8442 55,8442 55,8442 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-22 1 1 55,1585 55,1585 55,1585 55,1585 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-23 1 1 54,739 54,739 54,739 54,739 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-24 1 1 54,753 54,753 54,753 54,753 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-25 1 1 55,4287 55,4287 55,4287 55,4287 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-02-28 1 1 55,6072 55,6072 55,6072 55,6072 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-01 1 1 55,7474 55,7474 55,7474 55,7474 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-02 1 1 55,9638 55,9638 55,9638 55,9638 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-03 1 1 56,1422 56,1422 56,1422 56,1422 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-04 1 1 56,1633 56,1633 56,1633 56,1633 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-07 1 1 56,2155 56,2155 56,2155 56,2155 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-08 1 1 55,7908 55,7908 55,7908 55,7908 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-09 1 1 55,5545 55,5545 55,5545 55,5545 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-10 1 1 55,2181 55,2181 55,2181 55,2181 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-11 1 1 55,3316 55,3316 55,3316 55,3316 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-14 1 1 55,2122 55,2122 55,2122 55,2122 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-15 1 1 55,6567 55,6567 55,6567 55,6567 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-16 1 1 54,8347 54,8347 54,8347 54,8347 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-17 1 1 54,7345 54,7345 54,7345 54,7345 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-18 1 1 55,1245 55,1245 55,1245 55,1245 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-21 1 1 55,236 55,236 55,236 55,236 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-22 1 1 55,2575 55,2575 55,2575 55,2575 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-23 1 1 55,1083 55,1083 55,1083 55,1083 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-24 1 1 55,3219 55,3219 55,3219 55,3219 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-29 1 1 55,4621 55,4621 55,4621 55,4621 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-30 1 1 54,9372 54,9372 54,9372 54,9372 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-03-31 1 1 55,669 55,669 55,669 55,669 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-01 1 1 55,9882 55,9882 55,9882 55,9882 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-04 1 1 55,9058 55,9058 55,9058 55,9058 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-05 1 1 56,2718 56,2718 56,2718 56,2718 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-06 1 1 56,3049 56,3049 56,3049 56,3049 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-07 1 1 56,2321 56,2321 56,2321 56,2321 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-08 1 1 56,7229 56,7229 56,7229 56,7229 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-11 1 1 56,1504 56,1504 56,1504 56,1504 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-12 1 1 56,0178 56,0178 56,0178 56,0178 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-13 1 1 56,2915 56,2915 56,2915 56,2915 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-14 1 1 56,3972 56,3972 56,3972 56,3972 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-15 1 1 55,5034 55,5034 55,5034 55,5034 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-18 1 1 54,2721 54,2721 54,2721 54,2721 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-19 1 1 54,7006 54,7006 54,7006 54,7006 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-20 1 1 54,7746 54,7746 54,7746 54,7746 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-21 1 1 54,3172 54,3172 54,3172 54,3172 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-22 1 1 54,855 54,855 54,855 54,855 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-25 1 1 54,9835 54,9835 54,9835 54,9835 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-26 1 1 54,8081 54,8081 54,8081 54,8081 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-27 1 1 54,269 54,269 54,269 54,269 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-28 1 1 54,2896 54,2896 54,2896 54,2896 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-04-29 1 1 54,3709 54,3709 54,3709 54,3709 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-02 1 1 54,9758 54,9758 54,9758 54,9758 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-03 1 1 55,092 55,092 55,092 55,092 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-04 1 1 54,7933 54,7933 54,7933 54,7933 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-06 1 1 55,948 55,948 55,948 55,948 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-09 1 1 55,8429 55,8429 55,8429 55,8429 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-10 1 1 55,7903 55,7903 55,7903 55,7903 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-11 1 1 55,6473 55,6473 55,6473 55,6473 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-12 1 1 56,0644 56,0644 56,0644 56,0644 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-13 1 1 55,9879 55,9879 55,9879 55,9879 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-16 1 1 55,9249 55,9249 55,9249 55,9249 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-17 1 1 56,1313 56,1313 56,1313 56,1313 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-18 1 1 56,6272 56,6272 56,6272 56,6272 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-19 1 1 57,0206 57,0206 57,0206 57,0206 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-20 1 1 57,0552 57,0552 57,0552 57,0552 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-23 1 1 57,0286 57,0286 57,0286 57,0286 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-24 1 1 57,1111 57,1111 57,1111 57,1111 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-25 1 1 57,1911 57,1911 57,1911 57,1911 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-26 1 1 57,5021 57,5021 57,5021 57,5021 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-27 1 1 57,764 57,764 57,764 57,764 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-30 1 1 57,9144 57,9144 57,9144 57,9144 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-05-31 1 1 58,224 58,224 58,224 58,224 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-01 1 1 58,3367 58,3367 58,3367 58,3367 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-02 1 1 58,63 58,63 58,63 58,63 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-03 1 1 58,7278 58,7278 58,7278 58,7278 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-07 1 1 58,8716 58,8716 58,8716 58,8716 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-08 1 1 59,0896 59,0896 59,0896 59,0896 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-09 1 1 59,1882 59,1882 59,1882 59,1882 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-10 1 1 59,9762 59,9762 59,9762 59,9762 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-13 1 1 60,4346 60,4346 60,4346 60,4346 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-14 1 1 60,631 60,631 60,631 60,631 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-15 1 1 60,7421 60,7421 60,7421 60,7421 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-16 1 1 60,7071 60,7071 60,7071 60,7071 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-17 1 1 60,7278 60,7278 60,7278 60,7278 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-20 1 1 60,6065 60,6065 60,6065 60,6065 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-21 1 1 61,0147 61,0147 61,0147 61,0147 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-22 1 1 61,4513 61,4513 61,4513 61,4513 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-23 1 1 62,176 62,176 62,176 62,176 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-27 1 1 61,0143 61,0143 61,0143 61,0143 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-28 1 1 61,3993 61,3993 61,3993 61,3993 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-29 1 1 62,0263 62,0263 62,0263 62,0263 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-06-30 1 1 62,0234 62,0234 62,0234 62,0234 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-01 1 1 62,1053 62,1053 62,1053 62,1053 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-04 1 1 62,6989 62,6989 62,6989 62,6989 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-05 1 1 62,3757 62,3757 62,3757 62,3757 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-06 1 1 62,6492 62,6492 62,6492 62,6492 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-07 1 1 61,8674 61,8674 61,8674 61,8674 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-08 1 1 62,4056 62,4056 62,4056 62,4056 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-11 1 1 63,3383 63,3383 63,3383 63,3383 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-12 1 1 62,9429 62,9429 62,9429 62,9429 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-13 1 1 62,8628 62,8628 62,8628 62,8628 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-14 1 1 63,1952 63,1952 63,1952 63,1952 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-15 1 1 63,2536 63,2536 63,2536 63,2536 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-18 1 1 63,0371 63,0371 63,0371 63,0371 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-19 1 1 63,433 63,433 63,433 63,433 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-20 1 1 63,3788 63,3788 63,3788 63,3788 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-21 1 1 63,6536 63,6536 63,6536 63,6536 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-22 1 1 63,5 63,5 63,5 63,5 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-25 1 1 63,6779 63,6779 63,6779 63,6779 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-26 1 1 64,0344 64,0344 64,0344 64,0344 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-27 1 1 64,0727 64,0727 64,0727 64,0727 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-28 1 1 64,2096 64,2096 64,2096 64,2096 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-07-29 1 1 64,3321 64,3321 64,3321 64,3321 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-01 1 1 63,8833 63,8833 63,8833 63,8833 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-02 1 1 64,039 64,039 64,039 64,039 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-03 1 1 63,9894 63,9894 63,9894 63,9894 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-04 1 1 63,3006 63,3006 63,3006 63,3006 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-05 1 1 62,8752 62,8752 62,8752 62,8752 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-08 1 1 62,7635 62,7635 62,7635 62,7635 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-09 1 1 62,9313 62,9313 62,9313 62,9313 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-10 1 1 63,6688 63,6688 63,6688 63,6688 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-11 1 1 63,3619 63,3619 63,3619 63,3619 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-12 1 1 63,4402 63,4402 63,4402 63,4402 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-15 1 1 63,4855 63,4855 63,4855 63,4855 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-16 1 1 63,7586 63,7586 63,7586 63,7586 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-17 1 1 63,2542 63,2542 63,2542 63,2542 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-18 1 1 63,409 63,409 63,409 63,409 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-19 1 1 63,8822 63,8822 63,8822 63,8822 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-22 1 1 64,0944 64,0944 64,0944 64,0944 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-23 1 1 63,7988 63,7988 63,7988 63,7988 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-24 1 1 63,1372 63,1372 63,1372 63,1372 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-25 1 1 62,8365 62,8365 62,8365 62,8365 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-26 1 1 62,5365 62,5365 62,5365 62,5365 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-29 1 1 62,3985 62,3985 62,3985 62,3985 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-30 1 1 63,0787 63,0787 63,0787 63,0787 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-08-31 1 1 63,0602 63,0602 63,0602 63,0602 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-01 1 1 63,1795 63,1795 63,1795 63,1795 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-02 1 1 62,6568 62,6568 62,6568 62,6568 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-05 1 1 62,7378 62,7378 62,7378 62,7378 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-06 1 1 63,3014 63,3014 63,3014 63,3014 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-07 1 1 63,7818 63,7818 63,7818 63,7818 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-08 1 1 63,8592 63,8592 63,8592 63,8592 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-09 1 1 64,1782 64,1782 64,1782 64,1782 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-12 1 1 64,7725 64,7725 64,7725 64,7725 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-13 1 1 64,8701 64,8701 64,8701 64,8701 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-14 1 1 64,8561 64,8561 64,8561 64,8561 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-15 1 1 65,0623 65,0623 65,0623 65,0623 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-16 1 1 65,158 65,158 65,158 65,158 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-19 1 1 65,5379 65,5379 65,5379 65,5379 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-20 1 1 65,6983 65,6983 65,6983 65,6983 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-21 1 1 64,9896 64,9896 64,9896 64,9896 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-22 1 1 64,8531 64,8531 64,8531 64,8531 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-23 1 1 65,3434 65,3434 65,3434 65,3434 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-26 1 1 66,2681 66,2681 66,2681 66,2681 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-27 1 1 66,3968 66,3968 66,3968 66,3968 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-28 1 1 66,8823 66,8823 66,8823 66,8823 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-29 1 1 66,8849 66,8849 66,8849 66,8849 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-09-30 1 1 66,9921 66,9921 66,9921 66,9921 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-03 1 1 67,371 67,371 67,371 67,371 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-04 1 1 67,5812 67,5812 67,5812 67,5812 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-05 1 1 66,8949 66,8949 66,8949 66,8949 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-06 1 1 64,8309 64,8309 64,8309 64,8309 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-07 1 1 64,8537 64,8537 64,8537 64,8537 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-10 1 1 65,1322 65,1322 65,1322 65,1322 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-11 1 1 65,62 65,62 65,62 65,62 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-12 1 1 65,2876 65,2876 65,2876 65,2876 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-13 1 1 64,9128 64,9128 64,9128 64,9128 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-14 1 1 65,0469 65,0469 65,0469 65,0469 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-17 1 1 65,2736 65,2736 65,2736 65,2736 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-18 1 1 65,3403 65,3403 65,3403 65,3403 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-19 1 1 64,4652 64,4652 64,4652 64,4652 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-20 1 1 65,103 65,103 65,103 65,103 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-21 1 1 64,4306 64,4306 64,4306 64,4306 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-24 1 1 65,2867 65,2867 65,2867 65,2867 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-25 1 1 65,198 65,198 65,198 65,198 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-26 1 1 65,2449 65,2449 65,2449 65,2449 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-27 1 1 64,8364 64,8364 64,8364 64,8364 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-28 1 1 64,7787 64,7787 64,7787 64,7787 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-10-31 1 1 66,2714 66,2714 66,2714 66,2714 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-01 1 1 66,9492 66,9492 66,9492 66,9492 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-02 1 1 67,3083 67,3083 67,3083 67,3083 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-03 1 1 68,3455 68,3455 68,3455 68,3455 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-04 1 1 68,712 68,712 68,712 68,712 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-07 1 1 69,3121 69,3121 69,3121 69,3121 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-08 1 1 69,0653 69,0653 69,0653 69,0653 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-09 1 1 69,1283 69,1283 69,1283 69,1283 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-10 1 1 69,5519 69,5519 69,5519 69,5519 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-11 1 1 69,8524 69,8524 69,8524 69,8524 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-14 1 1 69,8079 69,8079 69,8079 69,8079 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-15 1 1 69,9939 69,9939 69,9939 69,9939 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-16 1 1 69,958 69,958 69,958 69,958 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-17 1 1 70,4477 70,4477 70,4477 70,4477 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-18 1 1 70,5999 70,5999 70,5999 70,5999 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-21 1 1 70,1569 70,1569 70,1569 70,1569 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-22 1 1 70,4218 70,4218 70,4218 70,4218 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-23 1 1 70,317 70,317 70,317 70,317 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-24 1 1 70,3787 70,3787 70,3787 70,3787 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-25 1 1 70,4195 70,4195 70,4195 70,4195 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-28 1 1 70,6224 70,6224 70,6224 70,6224 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-29 1 1 70,5314 70,5314 70,5314 70,5314 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-11-30 1 1 70,294 70,294 70,294 70,294 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-01 1 1 70,8485 70,8485 70,8485 70,8485 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-02 1 1 71,1582 71,1582 71,1582 71,1582 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-05 1 1 71,1043 71,1043 71,1043 71,1043 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-06 1 1 70,8412 70,8412 70,8412 70,8412 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-07 1 1 71,3627 71,3627 71,3627 71,3627 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-08 1 1 71,1373 71,1373 71,1373 71,1373 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-12 1 1 71,2621 71,2621 71,2621 71,2621 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-13 1 1 71,3607 71,3607 71,3607 71,3607 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-14 1 1 71,07 71,07 71,07 71,07 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-15 1 1 71,1105 71,1105 71,1105 71,1105 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-16 1 1 71,3893 71,3893 71,3893 71,3893 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-19 1 1 71,2992 71,2992 71,2992 71,2992 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-20 1 1 71,2328 71,2328 71,2328 71,2328 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-21 1 1 72,2697 72,2697 72,2697 72,2697 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-22 1 1 72,4116 72,4116 72,4116 72,4116 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-23 1 1 72,5696 72,5696 72,5696 72,5696 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-27 1 1 72,8369 72,8369 72,8369 72,8369 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-28 1 1 71,9553 71,9553 71,9553 71,9553 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-29 1 1 72,4444 72,4444 72,4444 72,4444 251827 Nordea Fonder AB Nordea Premiepensionsfond 1975-79 SEK 2005-12-30 1 1 71,9118 71,9118 71,9118 71,9118 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-03 1 1 52,6351 52,6351 52,6351 52,6351 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-04 1 1 52,8363 52,8363 52,8363 52,8363 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-05 1 1 52,4343 52,4343 52,4343 52,4343 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-07 1 1 52,4738 52,4738 52,4738 52,4738 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-10 1 1 52,9222 52,9222 52,9222 52,9222 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-11 1 1 52,6517 52,6517 52,6517 52,6517 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-12 1 1 52,2965 52,2965 52,2965 52,2965 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-13 1 1 52,506 52,506 52,506 52,506 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-14 1 1 52,96 52,96 52,96 52,96 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-17 1 1 53,4255 53,4255 53,4255 53,4255 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-18 1 1 53,2945 53,2945 53,2945 53,2945 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-19 1 1 53,519 53,519 53,519 53,519 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-20 1 1 53,1492 53,1492 53,1492 53,1492 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-21 1 1 52,99 52,99 52,99 52,99 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-24 1 1 52,7255 52,7255 52,7255 52,7255 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-25 1 1 53,0322 53,0322 53,0322 53,0322 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-26 1 1 53,3155 53,3155 53,3155 53,3155 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-27 1 1 53,5274 53,5274 53,5274 53,5274 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-28 1 1 53,4534 53,4534 53,4534 53,4534 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-01-31 1 1 53,6935 53,6935 53,6935 53,6935 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-01 1 1 53,7835 53,7835 53,7835 53,7835 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-02 1 1 54,0085 54,0085 54,0085 54,0085 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-03 1 1 54,3816 54,3816 54,3816 54,3816 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-04 1 1 54,9861 54,9861 54,9861 54,9861 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-07 1 1 55,8754 55,8754 55,8754 55,8754 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-08 1 1 56,161 56,161 56,161 56,161 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-09 1 1 55,9442 55,9442 55,9442 55,9442 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-10 1 1 55,523 55,523 55,523 55,523 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-11 1 1 55,7369 55,7369 55,7369 55,7369 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-14 1 1 56,1177 56,1177 56,1177 56,1177 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-15 1 1 56,1423 56,1423 56,1423 56,1423 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-16 1 1 55,8881 55,8881 55,8881 55,8881 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-17 1 1 55,9666 55,9666 55,9666 55,9666 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-18 1 1 55,7365 55,7365 55,7365 55,7365 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-21 1 1 56,0165 56,0165 56,0165 56,0165 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-22 1 1 55,2781 55,2781 55,2781 55,2781 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-23 1 1 54,9001 54,9001 54,9001 54,9001 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-24 1 1 55,0007 55,0007 55,0007 55,0007 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-25 1 1 55,5118 55,5118 55,5118 55,5118 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-02-28 1 1 55,7552 55,7552 55,7552 55,7552 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-01 1 1 55,7515 55,7515 55,7515 55,7515 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-02 1 1 55,9086 55,9086 55,9086 55,9086 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-03 1 1 56,2232 56,2232 56,2232 56,2232 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-04 1 1 56,1806 56,1806 56,1806 56,1806 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-07 1 1 56,141 56,141 56,141 56,141 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-08 1 1 55,5662 55,5662 55,5662 55,5662 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-09 1 1 55,2599 55,2599 55,2599 55,2599 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-10 1 1 54,8199 54,8199 54,8199 54,8199 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-11 1 1 55,0322 55,0322 55,0322 55,0322 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-14 1 1 54,9668 54,9668 54,9668 54,9668 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-15 1 1 55,3217 55,3217 55,3217 55,3217 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-16 1 1 54,449 54,449 54,449 54,449 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-17 1 1 54,5083 54,5083 54,5083 54,5083 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-18 1 1 54,8311 54,8311 54,8311 54,8311 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-21 1 1 54,9161 54,9161 54,9161 54,9161 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-22 1 1 54,9295 54,9295 54,9295 54,9295 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-23 1 1 54,8356 54,8356 54,8356 54,8356 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-24 1 1 55,0158 55,0158 55,0158 55,0158 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-29 1 1 55,1274 55,1274 55,1274 55,1274 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-30 1 1 54,5814 54,5814 54,5814 54,5814 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-03-31 1 1 55,3169 55,3169 55,3169 55,3169 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-01 1 1 55,7826 55,7826 55,7826 55,7826 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-04 1 1 55,8748 55,8748 55,8748 55,8748 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-05 1 1 56,1169 56,1169 56,1169 56,1169 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-06 1 1 56,0294 56,0294 56,0294 56,0294 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-07 1 1 55,9987 55,9987 55,9987 55,9987 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-08 1 1 56,4742 56,4742 56,4742 56,4742 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-11 1 1 55,8303 55,8303 55,8303 55,8303 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-12 1 1 55,7775 55,7775 55,7775 55,7775 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-13 1 1 55,9639 55,9639 55,9639 55,9639 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-14 1 1 56,014 56,014 56,014 56,014 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-15 1 1 55,0175 55,0175 55,0175 55,0175 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-18 1 1 53,8636 53,8636 53,8636 53,8636 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-19 1 1 54,4176 54,4176 54,4176 54,4176 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-20 1 1 54,6965 54,6965 54,6965 54,6965 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-21 1 1 54,2486 54,2486 54,2486 54,2486 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-22 1 1 54,8089 54,8089 54,8089 54,8089 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-25 1 1 54,9659 54,9659 54,9659 54,9659 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-26 1 1 54,7705 54,7705 54,7705 54,7705 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-27 1 1 54,263 54,263 54,263 54,263 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-28 1 1 54,2894 54,2894 54,2894 54,2894 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-04-29 1 1 54,3705 54,3705 54,3705 54,3705 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-02 1 1 55,0511 55,0511 55,0511 55,0511 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-03 1 1 55,2257 55,2257 55,2257 55,2257 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-04 1 1 55,0107 55,0107 55,0107 55,0107 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-06 1 1 56,2067 56,2067 56,2067 56,2067 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-09 1 1 56,0907 56,0907 56,0907 56,0907 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-10 1 1 55,967 55,967 55,967 55,967 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-11 1 1 55,8228 55,8228 55,8228 55,8228 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-12 1 1 56,0896 56,0896 56,0896 56,0896 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-13 1 1 56,1602 56,1602 56,1602 56,1602 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-16 1 1 56,0999 56,0999 56,0999 56,0999 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-17 1 1 56,3448 56,3448 56,3448 56,3448 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-18 1 1 56,7584 56,7584 56,7584 56,7584 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-19 1 1 57,0001 57,0001 57,0001 57,0001 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-20 1 1 57,064 57,064 57,064 57,064 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-23 1 1 56,9752 56,9752 56,9752 56,9752 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-24 1 1 57,0934 57,0934 57,0934 57,0934 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-25 1 1 57,3211 57,3211 57,3211 57,3211 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-26 1 1 57,6386 57,6386 57,6386 57,6386 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-27 1 1 57,9576 57,9576 57,9576 57,9576 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-30 1 1 58,187 58,187 58,187 58,187 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-05-31 1 1 58,4729 58,4729 58,4729 58,4729 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-01 1 1 58,5145 58,5145 58,5145 58,5145 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-02 1 1 58,9477 58,9477 58,9477 58,9477 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-03 1 1 59,1535 59,1535 59,1535 59,1535 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-07 1 1 59,2429 59,2429 59,2429 59,2429 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-08 1 1 59,4367 59,4367 59,4367 59,4367 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-09 1 1 59,6993 59,6993 59,6993 59,6993 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-10 1 1 60,5653 60,5653 60,5653 60,5653 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-13 1 1 61,1698 61,1698 61,1698 61,1698 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-14 1 1 61,6823 61,6823 61,6823 61,6823 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-15 1 1 61,8031 61,8031 61,8031 61,8031 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-16 1 1 61,8231 61,8231 61,8231 61,8231 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-17 1 1 61,8018 61,8018 61,8018 61,8018 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-20 1 1 61,6764 61,6764 61,6764 61,6764 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-21 1 1 62,0589 62,0589 62,0589 62,0589 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-22 1 1 62,2856 62,2856 62,2856 62,2856 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-23 1 1 63,0418 63,0418 63,0418 63,0418 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-27 1 1 61,9707 61,9707 61,9707 61,9707 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-28 1 1 62,4471 62,4471 62,4471 62,4471 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-29 1 1 62,958 62,958 62,958 62,958 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-06-30 1 1 63,0658 63,0658 63,0658 63,0658 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-01 1 1 63,2365 63,2365 63,2365 63,2365 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-04 1 1 63,8289 63,8289 63,8289 63,8289 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-05 1 1 63,5509 63,5509 63,5509 63,5509 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-06 1 1 63,8291 63,8291 63,8291 63,8291 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-07 1 1 63,1277 63,1277 63,1277 63,1277 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-08 1 1 63,7749 63,7749 63,7749 63,7749 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-11 1 1 64,6232 64,6232 64,6232 64,6232 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-12 1 1 64,2847 64,2847 64,2847 64,2847 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-13 1 1 64,1385 64,1385 64,1385 64,1385 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-14 1 1 64,4585 64,4585 64,4585 64,4585 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-15 1 1 64,2788 64,2788 64,2788 64,2788 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-18 1 1 64,1012 64,1012 64,1012 64,1012 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-19 1 1 64,4242 64,4242 64,4242 64,4242 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-20 1 1 64,2695 64,2695 64,2695 64,2695 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-21 1 1 64,5257 64,5257 64,5257 64,5257 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-22 1 1 64,3657 64,3657 64,3657 64,3657 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-25 1 1 64,707 64,707 64,707 64,707 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-26 1 1 65,074 65,074 65,074 65,074 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-27 1 1 64,9538 64,9538 64,9538 64,9538 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-28 1 1 65,2468 65,2468 65,2468 65,2468 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-07-29 1 1 65,3898 65,3898 65,3898 65,3898 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-01 1 1 64,8524 64,8524 64,8524 64,8524 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-02 1 1 65,1227 65,1227 65,1227 65,1227 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-03 1 1 65,0527 65,0527 65,0527 65,0527 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-04 1 1 64,3631 64,3631 64,3631 64,3631 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-05 1 1 64,0049 64,0049 64,0049 64,0049 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-08 1 1 63,8049 63,8049 63,8049 63,8049 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-09 1 1 64,0379 64,0379 64,0379 64,0379 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-10 1 1 64,7048 64,7048 64,7048 64,7048 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-11 1 1 64,5349 64,5349 64,5349 64,5349 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-12 1 1 64,5862 64,5862 64,5862 64,5862 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-15 1 1 64,7032 64,7032 64,7032 64,7032 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-16 1 1 64,7938 64,7938 64,7938 64,7938 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-17 1 1 64,4095 64,4095 64,4095 64,4095 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-18 1 1 64,4162 64,4162 64,4162 64,4162 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-19 1 1 64,9524 64,9524 64,9524 64,9524 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-22 1 1 65,2047 65,2047 65,2047 65,2047 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-23 1 1 64,9702 64,9702 64,9702 64,9702 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-24 1 1 64,2701 64,2701 64,2701 64,2701 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-25 1 1 63,8518 63,8518 63,8518 63,8518 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-26 1 1 63,5057 63,5057 63,5057 63,5057 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-29 1 1 63,4526 63,4526 63,4526 63,4526 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-30 1 1 64,1715 64,1715 64,1715 64,1715 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-08-31 1 1 64,0848 64,0848 64,0848 64,0848 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-01 1 1 64,1364 64,1364 64,1364 64,1364 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-02 1 1 63,5628 63,5628 63,5628 63,5628 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-05 1 1 63,6379 63,6379 63,6379 63,6379 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-06 1 1 64,2451 64,2451 64,2451 64,2451 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-07 1 1 64,6296 64,6296 64,6296 64,6296 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-08 1 1 64,8447 64,8447 64,8447 64,8447 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-09 1 1 65,1201 65,1201 65,1201 65,1201 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-12 1 1 65,7562 65,7562 65,7562 65,7562 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-13 1 1 65,9434 65,9434 65,9434 65,9434 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-14 1 1 65,96 65,96 65,96 65,96 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-15 1 1 66,297 66,297 66,297 66,297 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-16 1 1 66,41 66,41 66,41 66,41 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-19 1 1 66,9178 66,9178 66,9178 66,9178 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-20 1 1 67,3031 67,3031 67,3031 67,3031 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-21 1 1 66,4266 66,4266 66,4266 66,4266 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-22 1 1 66,4172 66,4172 66,4172 66,4172 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-23 1 1 66,887 66,887 66,887 66,887 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-26 1 1 67,8023 67,8023 67,8023 67,8023 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-27 1 1 67,9534 67,9534 67,9534 67,9534 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-28 1 1 68,3659 68,3659 68,3659 68,3659 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-29 1 1 68,3069 68,3069 68,3069 68,3069 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-09-30 1 1 68,521 68,521 68,521 68,521 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-03 1 1 68,9349 68,9349 68,9349 68,9349 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-04 1 1 69,175 69,175 69,175 69,175 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-05 1 1 68,3833 68,3833 68,3833 68,3833 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-06 1 1 66,1069 66,1069 66,1069 66,1069 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-07 1 1 66,128 66,128 66,128 66,128 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-10 1 1 66,5626 66,5626 66,5626 66,5626 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-11 1 1 67,0714 67,0714 67,0714 67,0714 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-12 1 1 66,6658 66,6658 66,6658 66,6658 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-13 1 1 66,1644 66,1644 66,1644 66,1644 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-14 1 1 66,3369 66,3369 66,3369 66,3369 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-17 1 1 66,6815 66,6815 66,6815 66,6815 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-18 1 1 66,8275 66,8275 66,8275 66,8275 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-19 1 1 65,957 65,957 65,957 65,957 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-20 1 1 66,801 66,801 66,801 66,801 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-21 1 1 66,1606 66,1606 66,1606 66,1606 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-24 1 1 67,0304 67,0304 67,0304 67,0304 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-25 1 1 66,9845 66,9845 66,9845 66,9845 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-26 1 1 66,9981 66,9981 66,9981 66,9981 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-27 1 1 66,5685 66,5685 66,5685 66,5685 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-28 1 1 66,5651 66,5651 66,5651 66,5651 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-10-31 1 1 68,3201 68,3201 68,3201 68,3201 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-01 1 1 69,1083 69,1083 69,1083 69,1083 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-02 1 1 69,3096 69,3096 69,3096 69,3096 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-03 1 1 70,4867 70,4867 70,4867 70,4867 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-04 1 1 70,8348 70,8348 70,8348 70,8348 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-07 1 1 71,4845 71,4845 71,4845 71,4845 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-08 1 1 71,2479 71,2479 71,2479 71,2479 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-09 1 1 71,2976 71,2976 71,2976 71,2976 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-10 1 1 71,7207 71,7207 71,7207 71,7207 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-11 1 1 72,0585 72,0585 72,0585 72,0585 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-14 1 1 72,0342 72,0342 72,0342 72,0342 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-15 1 1 72,1917 72,1917 72,1917 72,1917 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-16 1 1 72,1361 72,1361 72,1361 72,1361 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-17 1 1 72,5782 72,5782 72,5782 72,5782 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-18 1 1 72,6588 72,6588 72,6588 72,6588 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-21 1 1 72,06 72,06 72,06 72,06 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-22 1 1 72,0861 72,0861 72,0861 72,0861 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-23 1 1 72,1466 72,1466 72,1466 72,1466 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-24 1 1 72,256 72,256 72,256 72,256 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-25 1 1 72,252 72,252 72,252 72,252 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-28 1 1 72,398 72,398 72,398 72,398 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-29 1 1 72,2927 72,2927 72,2927 72,2927 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-11-30 1 1 72,1459 72,1459 72,1459 72,1459 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-01 1 1 72,803 72,803 72,803 72,803 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-02 1 1 73,098 73,098 73,098 73,098 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-05 1 1 73,05 73,05 73,05 73,05 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-06 1 1 73,0467 73,0467 73,0467 73,0467 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-07 1 1 73,8508 73,8508 73,8508 73,8508 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-08 1 1 73,6409 73,6409 73,6409 73,6409 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-12 1 1 73,6098 73,6098 73,6098 73,6098 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-13 1 1 73,7166 73,7166 73,7166 73,7166 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-14 1 1 73,4786 73,4786 73,4786 73,4786 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-15 1 1 73,5388 73,5388 73,5388 73,5388 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-16 1 1 73,7187 73,7187 73,7187 73,7187 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-19 1 1 73,6856 73,6856 73,6856 73,6856 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-20 1 1 73,5155 73,5155 73,5155 73,5155 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-21 1 1 74,648 74,648 74,648 74,648 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-22 1 1 74,7216 74,7216 74,7216 74,7216 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-23 1 1 74,9027 74,9027 74,9027 74,9027 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-27 1 1 75,2096 75,2096 75,2096 75,2096 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-28 1 1 74,2332 74,2332 74,2332 74,2332 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-29 1 1 74,6836 74,6836 74,6836 74,6836 215996 Nordea Fonder AB Nordea Premiepensionsfond 1980-84 SEK 2005-12-30 1 1 74,2243 74,2243 74,2243 74,2243 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-03 1 1 98,9122 98,9122 98,9122 98,9122 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-04 1 1 98,9135 98,9135 98,9135 98,9135 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-05 1 1 98,9135 98,9135 98,9135 98,9135 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-07 1 1 98,9293 98,9293 98,9293 98,9293 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-10 1 1 98,9451 98,9451 98,9451 98,9451 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-11 1 1 98,9495 98,9495 98,9495 98,9495 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-12 1 1 98,9502 98,9502 98,9502 98,9502 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-13 1 1 98,9569 98,9569 98,9569 98,9569 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-14 1 1 98,9627 98,9627 98,9627 98,9627 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-17 1 1 98,9764 98,9764 98,9764 98,9764 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-18 1 1 98,9795 98,9795 98,9795 98,9795 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-19 1 1 98,9871 98,9871 98,9871 98,9871 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-20 1 1 98,9852 98,9852 98,9852 98,9852 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-21 1 1 98,998 98,998 98,998 98,998 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-24 1 1 99,0224 99,0224 99,0224 99,0224 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-25 1 1 99,0277 99,0277 99,0277 99,0277 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-26 1 1 99,031 99,031 99,031 99,031 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-27 1 1 99,0327 99,0327 99,0327 99,0327 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-28 1 1 99,043 99,043 99,043 99,043 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-01-31 1 1 99,0553 99,0553 99,0553 99,0553 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-01 1 1 99,0552 99,0552 99,0552 99,0552 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-02 1 1 99,0535 99,0535 99,0535 99,0535 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-03 1 1 99,0554 99,0554 99,0554 99,0554 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-04 1 1 99,0639 99,0639 99,0639 99,0639 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-07 1 1 99,0779 99,0779 99,0779 99,0779 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-08 1 1 99,0766 99,0766 99,0766 99,0766 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-09 1 1 99,0802 99,0802 99,0802 99,0802 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-10 1 1 99,0872 99,0872 99,0872 99,0872 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-11 1 1 99,0964 99,0964 99,0964 99,0964 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-14 1 1 99,1122 99,1122 99,1122 99,1122 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-15 1 1 99,1142 99,1142 99,1142 99,1142 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-16 1 1 99,1201 99,1201 99,1201 99,1201 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-17 1 1 99,1283 99,1283 99,1283 99,1283 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-18 1 1 99,1251 99,1251 99,1251 99,1251 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-21 1 1 99,1392 99,1392 99,1392 99,1392 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-22 1 1 99,1419 99,1419 99,1419 99,1419 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-23 1 1 99,1443 99,1443 99,1443 99,1443 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-24 1 1 99,1413 99,1413 99,1413 99,1413 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-25 1 1 99,1461 99,1461 99,1461 99,1461 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-02-28 1 1 99,1633 99,1633 99,1633 99,1633 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-01 1 1 99,1757 99,1757 99,1757 99,1757 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-02 1 1 99,1716 99,1716 99,1716 99,1716 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-03 1 1 99,1793 99,1793 99,1793 99,1793 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-04 1 1 99,1851 99,1851 99,1851 99,1851 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-07 1 1 99,2002 99,2002 99,2002 99,2002 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-08 1 1 99,2158 99,2158 99,2158 99,2158 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-09 1 1 99,221 99,221 99,221 99,221 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-10 1 1 99,2242 99,2242 99,2242 99,2242 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-11 1 1 99,2113 99,2113 99,2113 99,2113 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-14 1 1 99,2293 99,2293 99,2293 99,2293 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-15 1 1 99,234 99,234 99,234 99,234 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-16 1 1 99,2212 99,2212 99,2212 99,2212 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-17 1 1 99,2253 99,2253 99,2253 99,2253 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-18 1 1 99,2237 99,2237 99,2237 99,2237 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-21 1 1 99,2371 99,2371 99,2371 99,2371 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-22 1 1 99,229 99,229 99,229 99,229 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-23 1 1 99,2277 99,2277 99,2277 99,2277 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-24 1 1 99,2357 99,2357 99,2357 99,2357 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-29 1 1 99,2623 99,2623 99,2623 99,2623 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-30 1 1 99,2641 99,2641 99,2641 99,2641 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-03-31 1 1 99,2711 99,2711 99,2711 99,2711 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-01 1 1 99,282 99,282 99,282 99,282 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-04 1 1 99,2939 99,2939 99,2939 99,2939 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-05 1 1 99,2981 99,2981 99,2981 99,2981 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-06 1 1 99,3008 99,3008 99,3008 99,3008 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-07 1 1 99,3071 99,3071 99,3071 99,3071 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-08 1 1 99,3071 99,3071 99,3071 99,3071 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-11 1 1 99,3226 99,3226 99,3226 99,3226 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-12 1 1 99,3278 99,3278 99,3278 99,3278 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-13 1 1 99,334 99,334 99,334 99,334 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-14 1 1 99,3476 99,3476 99,3476 99,3476 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-15 1 1 99,3583 99,3583 99,3583 99,3583 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-18 1 1 99,3831 99,3831 99,3831 99,3831 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-19 1 1 99,3908 99,3908 99,3908 99,3908 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-20 1 1 99,3898 99,3898 99,3898 99,3898 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-21 1 1 99,3975 99,3975 99,3975 99,3975 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-22 1 1 99,4011 99,4011 99,4011 99,4011 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-25 1 1 99,4135 99,4135 99,4135 99,4135 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-26 1 1 99,4241 99,4241 99,4241 99,4241 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-27 1 1 99,4392 99,4392 99,4392 99,4392 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-28 1 1 99,456 99,456 99,456 99,456 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-04-29 1 1 99,4672 99,4672 99,4672 99,4672 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-02 1 1 99,4865 99,4865 99,4865 99,4865 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-03 1 1 99,5092 99,5092 99,5092 99,5092 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-04 1 1 99,515 99,515 99,515 99,515 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-06 1 1 99,5154 99,5154 99,5154 99,5154 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-09 1 1 99,5257 99,5257 99,5257 99,5257 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-10 1 1 99,5521 99,5521 99,5521 99,5521 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-11 1 1 99,5509 99,5509 99,5509 99,5509 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-12 1 1 99,5509 99,5509 99,5509 99,5509 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-13 1 1 99,5654 99,5654 99,5654 99,5654 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-16 1 1 99,5836 99,5836 99,5836 99,5836 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-17 1 1 99,5768 99,5768 99,5768 99,5768 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-18 1 1 99,5992 99,5992 99,5992 99,5992 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-19 1 1 99,6141 99,6141 99,6141 99,6141 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-20 1 1 99,5955 99,5955 99,5955 99,5955 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-23 1 1 99,6108 99,6108 99,6108 99,6108 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-24 1 1 99,6202 99,6202 99,6202 99,6202 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-25 1 1 99,6146 99,6146 99,6146 99,6146 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-26 1 1 99,6187 99,6187 99,6187 99,6187 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-27 1 1 99,6257 99,6257 99,6257 99,6257 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-30 1 1 99,6248 99,6248 99,6248 99,6248 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-05-31 1 1 99,6421 99,6421 99,6421 99,6421 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-01 1 1 99,6536 99,6536 99,6536 99,6536 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-02 1 1 99,6626 99,6626 99,6626 99,6626 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-03 1 1 99,6726 99,6726 99,6726 99,6726 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-07 1 1 99,6913 99,6913 99,6913 99,6913 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-08 1 1 99,7398 99,7398 99,7398 99,7398 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-09 1 1 99,7591 99,7591 99,7591 99,7591 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-10 1 1 99,7616 99,7616 99,7616 99,7616 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-13 1 1 99,779 99,779 99,779 99,779 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-14 1 1 99,7799 99,7799 99,7799 99,7799 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-15 1 1 99,7435 99,7435 99,7435 99,7435 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-16 1 1 99,81 99,81 99,81 99,81 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-17 1 1 99,8132 99,8132 99,8132 99,8132 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-20 1 1 99,8199 99,8199 99,8199 99,8199 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-21 1 1 99,876 99,876 99,876 99,876 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-22 1 1 99,8945 99,8945 99,8945 99,8945 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-23 1 1 99,8957 99,8957 99,8957 99,8957 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-27 1 1 99,9049 99,9049 99,9049 99,9049 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-28 1 1 99,8945 99,8945 99,8945 99,8945 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-29 1 1 99,8934 99,8934 99,8934 99,8934 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-06-30 1 1 99,8956 99,8956 99,8956 99,8956 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-01 1 1 99,9054 99,9054 99,9054 99,9054 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-04 1 1 99,9106 99,9106 99,9106 99,9106 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-05 1 1 99,9075 99,9075 99,9075 99,9075 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-06 1 1 99,9076 99,9076 99,9076 99,9076 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-07 1 1 99,9237 99,9237 99,9237 99,9237 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-08 1 1 99,9231 99,9231 99,9231 99,9231 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-11 1 1 99,9289 99,9289 99,9289 99,9289 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-12 1 1 99,9214 99,9214 99,9214 99,9214 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-13 1 1 99,9189 99,9189 99,9189 99,9189 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-14 1 1 99,9244 99,9244 99,9244 99,9244 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-15 1 1 99,9249 99,9249 99,9249 99,9249 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-18 1 1 99,9386 99,9386 99,9386 99,9386 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-19 1 1 99,9393 99,9393 99,9393 99,9393 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-20 1 1 99,9349 99,9349 99,9349 99,9349 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-21 1 1 99,9439 99,9439 99,9439 99,9439 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-22 1 1 99,9454 99,9454 99,9454 99,9454 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-25 1 1 99,955 99,955 99,955 99,955 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-26 1 1 99,9552 99,9552 99,9552 99,9552 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-27 1 1 99,956 99,956 99,956 99,956 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-28 1 1 99,9574 99,9574 99,9574 99,9574 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-07-29 1 1 99,9531 99,9531 99,9531 99,9531 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-01 1 1 99,9504 99,9504 99,9504 99,9504 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-02 1 1 99,9466 99,9466 99,9466 99,9466 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-03 1 1 99,9366 99,9366 99,9366 99,9366 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-04 1 1 99,9448 99,9448 99,9448 99,9448 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-05 1 1 99,9438 99,9438 99,9438 99,9438 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-08 1 1 99,9517 99,9517 99,9517 99,9517 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-09 1 1 99,9549 99,9549 99,9549 99,9549 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-10 1 1 99,9584 99,9584 99,9584 99,9584 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-11 1 1 99,9633 99,9633 99,9633 99,9633 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-12 1 1 99,969 99,969 99,969 99,969 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-15 1 1 99,9831 99,9831 99,9831 99,9831 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-16 1 1 99,9793 99,9793 99,9793 99,9793 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-17 1 1 99,9745 99,9745 99,9745 99,9745 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-18 1 1 99,981 99,981 99,981 99,981 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-19 1 1 99,9902 99,9902 99,9902 99,9902 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-22 1 1 99,997 99,997 99,997 99,997 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-23 1 1 99,9969 99,9969 99,9969 99,9969 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-24 1 1 99,99 99,99 99,99 99,99 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-25 1 1 99,9971 99,9971 99,9971 99,9971 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-26 1 1 99,9965 99,9965 99,9965 99,9965 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-29 1 1 99,9995 99,9995 99,9995 99,9995 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-30 1 1 100,0013 100,0013 100,0013 100,0013 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-08-31 1 1 100,0002 100,0002 100,0002 100,0002 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-01 1 1 100,0128 100,0128 100,0128 100,0128 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-02 1 1 100,0216 100,0216 100,0216 100,0216 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-05 1 1 100,0391 100,0391 100,0391 100,0391 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-06 1 1 100,0327 100,0327 100,0327 100,0327 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-07 1 1 100,0323 100,0323 100,0323 100,0323 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-08 1 1 100,0397 100,0397 100,0397 100,0397 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-09 1 1 100,0425 100,0425 100,0425 100,0425 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-12 1 1 100,0435 100,0435 100,0435 100,0435 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-13 1 1 100,0431 100,0431 100,0431 100,0431 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-14 1 1 100,0382 100,0382 100,0382 100,0382 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-15 1 1 100,0456 100,0456 100,0456 100,0456 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-16 1 1 100,0434 100,0434 100,0434 100,0434 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-19 1 1 100,0961 100,0961 100,0961 100,0961 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-20 1 1 100,1041 100,1041 100,1041 100,1041 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-21 1 1 100,1102 100,1102 100,1102 100,1102 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-22 1 1 100,0758 100,0758 100,0758 100,0758 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-23 1 1 100,0695 100,0695 100,0695 100,0695 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-26 1 1 100,0776 100,0776 100,0776 100,0776 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-27 1 1 100,0794 100,0794 100,0794 100,0794 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-28 1 1 100,074 100,074 100,074 100,074 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-29 1 1 100,0722 100,0722 100,0722 100,0722 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-09-30 1 1 100,0607 100,0607 100,0607 100,0607 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-03 1 1 100,0603 100,0603 100,0603 100,0603 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-04 1 1 100,0656 100,0656 100,0656 100,0656 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-05 1 1 100,0616 100,0616 100,0616 100,0616 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-06 1 1 100,0648 100,0648 100,0648 100,0648 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-07 1 1 100,068 100,068 100,068 100,068 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-10 1 1 100,0747 100,0747 100,0747 100,0747 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-11 1 1 100,0767 100,0767 100,0767 100,0767 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-12 1 1 100,0748 100,0748 100,0748 100,0748 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-13 1 1 100,0971 100,0971 100,0971 100,0971 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-14 1 1 100,1006 100,1006 100,1006 100,1006 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-17 1 1 100,1078 100,1078 100,1078 100,1078 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-18 1 1 100,111 100,111 100,111 100,111 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-19 1 1 100,1125 100,1125 100,1125 100,1125 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-20 1 1 100,1322 100,1322 100,1322 100,1322 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-21 1 1 100,1376 100,1376 100,1376 100,1376 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-24 1 1 100,1445 100,1445 100,1445 100,1445 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-25 1 1 100,1411 100,1411 100,1411 100,1411 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-26 1 1 100,1337 100,1337 100,1337 100,1337 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-27 1 1 100,1425 100,1425 100,1425 100,1425 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-28 1 1 100,146 100,146 100,146 100,146 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-10-31 1 1 100,1497 100,1497 100,1497 100,1497 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-01 1 1 100,1513 100,1513 100,1513 100,1513 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-02 1 1 100,1467 100,1467 100,1467 100,1467 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-03 1 1 100,1516 100,1516 100,1516 100,1516 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-04 1 1 100,1461 100,1461 100,1461 100,1461 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-07 1 1 100,1519 100,1519 100,1519 100,1519 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-08 1 1 100,1505 100,1505 100,1505 100,1505 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-09 1 1 100,1459 100,1459 100,1459 100,1459 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-10 1 1 100,1556 100,1556 100,1556 100,1556 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-11 1 1 100,1551 100,1551 100,1551 100,1551 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-14 1 1 100,1697 100,1697 100,1697 100,1697 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-15 1 1 100,163 100,163 100,163 100,163 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-16 1 1 100,163 100,163 100,163 100,163 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-17 1 1 100,1633 100,1633 100,1633 100,1633 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-18 1 1 100,1545 100,1545 100,1545 100,1545 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-21 1 1 100,1649 100,1649 100,1649 100,1649 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-22 1 1 100,1668 100,1668 100,1668 100,1668 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-23 1 1 100,1697 100,1697 100,1697 100,1697 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-24 1 1 100,1837 100,1837 100,1837 100,1837 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-25 1 1 100,1733 100,1733 100,1733 100,1733 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-28 1 1 100,1795 100,1795 100,1795 100,1795 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-29 1 1 100,1804 100,1804 100,1804 100,1804 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-11-30 1 1 100,1727 100,1727 100,1727 100,1727 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-01 1 1 100,181 100,181 100,181 100,181 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-02 1 1 100,1684 100,1684 100,1684 100,1684 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-05 1 1 98,6623 98,6623 98,6623 98,6623 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-06 1 1 98,661 98,661 98,661 98,661 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-07 1 1 98,6647 98,6647 98,6647 98,6647 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-08 1 1 98,6655 98,6655 98,6655 98,6655 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-12 1 1 98,671 98,671 98,671 98,671 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-13 1 1 98,6787 98,6787 98,6787 98,6787 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-14 1 1 98,6832 98,6832 98,6832 98,6832 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-15 1 1 98,684 98,684 98,684 98,684 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-16 1 1 98,6851 98,6851 98,6851 98,6851 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-19 1 1 98,6961 98,6961 98,6961 98,6961 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-20 1 1 98,6989 98,6989 98,6989 98,6989 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-21 1 1 98,7147 98,7147 98,7147 98,7147 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-22 1 1 98,7188 98,7188 98,7188 98,7188 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-23 1 1 98,726 98,726 98,726 98,726 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-27 1 1 98,737 98,737 98,737 98,737 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-28 1 1 98,738 98,738 98,738 98,738 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-29 1 1 98,7402 98,7402 98,7402 98,7402 613133 Nordea Fonder AB Nordea Räntefond SEK 2005-12-30 1 1 98,7393 98,7393 98,7393 98,7393 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-03 1 1 275,8578 275,8578 275,8578 275,8578 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-04 1 1 277,7623 277,7623 277,7623 277,7623 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-05 1 1 275,6763 275,6763 275,6763 275,6763 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-07 1 1 277,7507 277,7507 277,7507 277,7507 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-10 1 1 278,5972 278,5972 278,5972 278,5972 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-11 1 1 275,9084 275,9084 275,9084 275,9084 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-12 1 1 273,9467 273,9467 273,9467 273,9467 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-13 1 1 273,7947 273,7947 273,7947 273,7947 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-14 1 1 275,8275 275,8275 275,8275 275,8275 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-17 1 1 277,7451 277,7451 277,7451 277,7451 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-18 1 1 276,2347 276,2347 276,2347 276,2347 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-19 1 1 277,2048 277,2048 277,2048 277,2048 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-20 1 1 275,7326 275,7326 275,7326 275,7326 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-21 1 1 275,7726 275,7726 275,7726 275,7726 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-24 1 1 275,2868 275,2868 275,2868 275,2868 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-25 1 1 277,5105 277,5105 277,5105 277,5105 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-26 1 1 279,1064 279,1064 279,1064 279,1064 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-27 1 1 279,3603 279,3603 279,3603 279,3603 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-28 1 1 279,5425 279,5425 279,5425 279,5425 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-01-31 1 1 280,9949 280,9949 280,9949 280,9949 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-01 1 1 282,1812 282,1812 282,1812 282,1812 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-02 1 1 283,3153 283,3153 283,3153 283,3153 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-03 1 1 283,6628 283,6628 283,6628 283,6628 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-04 1 1 286,736 286,736 286,736 286,736 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-07 1 1 287,4851 287,4851 287,4851 287,4851 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-08 1 1 287,7836 287,7836 287,7836 287,7836 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-09 1 1 287,7597 287,7597 287,7597 287,7597 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-10 1 1 287,9043 287,9043 287,9043 287,9043 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-11 1 1 287,8475 287,8475 287,8475 287,8475 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-14 1 1 289,6716 289,6716 289,6716 289,6716 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-15 1 1 289,6433 289,6433 289,6433 289,6433 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-16 1 1 287,7319 287,7319 287,7319 287,7319 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-17 1 1 288,2186 288,2186 288,2186 288,2186 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-18 1 1 287,9209 287,9209 287,9209 287,9209 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-21 1 1 288,744 288,744 288,744 288,744 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-22 1 1 285,8053 285,8053 285,8053 285,8053 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-23 1 1 284,6652 284,6652 284,6652 284,6652 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-24 1 1 284,5613 284,5613 284,5613 284,5613 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-25 1 1 287,3379 287,3379 287,3379 287,3379 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-02-28 1 1 288,1418 288,1418 288,1418 288,1418 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-01 1 1 289,5487 289,5487 289,5487 289,5487 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-02 1 1 289,7963 289,7963 289,7963 289,7963 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-03 1 1 291,0498 291,0498 291,0498 291,0498 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-04 1 1 292,6117 292,6117 292,6117 292,6117 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-07 1 1 292,5191 292,5191 292,5191 292,5191 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-08 1 1 292,3844 292,3844 292,3844 292,3844 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-09 1 1 292,5017 292,5017 292,5017 292,5017 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-10 1 1 291,4586 291,4586 291,4586 291,4586 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-11 1 1 291,9114 291,9114 291,9114 291,9114 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-14 1 1 290,6338 290,6338 290,6338 290,6338 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-15 1 1 293,2761 293,2761 293,2761 293,2761 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-16 1 1 289,0671 289,0671 289,0671 289,0671 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-17 1 1 287,9792 287,9792 287,9792 287,9792 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-18 1 1 289,783 289,783 289,783 289,783 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-21 1 1 290,1406 290,1406 290,1406 290,1406 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-22 1 1 288,4599 288,4599 288,4599 288,4599 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-23 1 1 286,5083 286,5083 286,5083 286,5083 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-24 1 1 289,1009 289,1009 289,1009 289,1009 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-29 1 1 289,5389 289,5389 289,5389 289,5389 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-30 1 1 288,9998 288,9998 288,9998 288,9998 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-03-31 1 1 291,6319 291,6319 291,6319 291,6319 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-01 1 1 293,9031 293,9031 293,9031 293,9031 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-04 1 1 290,9369 290,9369 290,9369 290,9369 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-05 1 1 293,3673 293,3673 293,3673 293,3673 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-06 1 1 293,5631 293,5631 293,5631 293,5631 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-07 1 1 294,8031 294,8031 294,8031 294,8031 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-08 1 1 296,5328 296,5328 296,5328 296,5328 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-11 1 1 295,8478 295,8478 295,8478 295,8478 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-12 1 1 294,3383 294,3383 294,3383 294,3383 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-13 1 1 295,7438 295,7438 295,7438 295,7438 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-14 1 1 296,5404 296,5404 296,5404 296,5404 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-15 1 1 292,1341 292,1341 292,1341 292,1341 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-18 1 1 285,8881 285,8881 285,8881 285,8881 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-19 1 1 288,2215 288,2215 288,2215 288,2215 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-20 1 1 287,261 287,261 287,261 287,261 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-21 1 1 287,1537 287,1537 287,1537 287,1537 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-22 1 1 288,121 288,121 288,121 288,121 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-25 1 1 287,8952 287,8952 287,8952 287,8952 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-26 1 1 287,2188 287,2188 287,2188 287,2188 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-27 1 1 284,3463 284,3463 284,3463 284,3463 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-28 1 1 283,5689 283,5689 283,5689 283,5689 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-04-29 1 1 286,271 286,271 286,271 286,271 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-02 1 1 287,6477 287,6477 287,6477 287,6477 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-03 1 1 287,5259 287,5259 287,5259 287,5259 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-04 1 1 287,0468 287,0468 287,0468 287,0468 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-06 1 1 290,8285 290,8285 290,8285 290,8285 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-09 1 1 290,5783 290,5783 290,5783 290,5783 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-10 1 1 289,1189 289,1189 289,1189 289,1189 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-11 1 1 289,7815 289,7815 289,7815 289,7815 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-12 1 1 291,7485 291,7485 291,7485 291,7485 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-13 1 1 291,3852 291,3852 291,3852 291,3852 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-16 1 1 291,612 291,612 291,612 291,612 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-17 1 1 291,8247 291,8247 291,8247 291,8247 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-18 1 1 294,3552 294,3552 294,3552 294,3552 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-19 1 1 296,9754 296,9754 296,9754 296,9754 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-20 1 1 295,9566 295,9566 295,9566 295,9566 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-23 1 1 296,0771 296,0771 296,0771 296,0771 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-24 1 1 296,2858 296,2858 296,2858 296,2858 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-25 1 1 297,3726 297,3726 297,3726 297,3726 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-26 1 1 299,6727 299,6727 299,6727 299,6727 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-27 1 1 300,4833 300,4833 300,4833 300,4833 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-30 1 1 300,3511 300,3511 300,3511 300,3511 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-05-31 1 1 302,3833 302,3833 302,3833 302,3833 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-01 1 1 301,9556 301,9556 301,9556 301,9556 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-02 1 1 303,642 303,642 303,642 303,642 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-03 1 1 303,7182 303,7182 303,7182 303,7182 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-07 1 1 306,155 306,155 306,155 306,155 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-08 1 1 309,4748 309,4748 309,4748 309,4748 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-09 1 1 309,1305 309,1305 309,1305 309,1305 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-10 1 1 313,8257 313,8257 313,8257 313,8257 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-13 1 1 315,166 315,166 315,166 315,166 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-14 1 1 316,0771 316,0771 316,0771 316,0771 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-15 1 1 317,2557 317,2557 317,2557 317,2557 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-16 1 1 316,2963 316,2963 316,2963 316,2963 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-17 1 1 316,6289 316,6289 316,6289 316,6289 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-20 1 1 314,8596 314,8596 314,8596 314,8596 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-21 1 1 317,8644 317,8644 317,8644 317,8644 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-22 1 1 321,7196 321,7196 321,7196 321,7196 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-23 1 1 325,0754 325,0754 325,0754 325,0754 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-27 1 1 319,2781 319,2781 319,2781 319,2781 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-28 1 1 320,1523 320,1523 320,1523 320,1523 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-29 1 1 323,211 323,211 323,211 323,211 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-06-30 1 1 323,8404 323,8404 323,8404 323,8404 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-01 1 1 323,8282 323,8282 323,8282 323,8282 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-04 1 1 325,8898 325,8898 325,8898 325,8898 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-05 1 1 323,2253 323,2253 323,2253 323,2253 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-06 1 1 324,5966 324,5966 324,5966 324,5966 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-07 1 1 319,7233 319,7233 319,7233 319,7233 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-08 1 1 323,9587 323,9587 323,9587 323,9587 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-11 1 1 328,3646 328,3646 328,3646 328,3646 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-12 1 1 326,7013 326,7013 326,7013 326,7013 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-13 1 1 325,997 325,997 325,997 325,997 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-14 1 1 328,8236 328,8236 328,8236 328,8236 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-15 1 1 327,6019 327,6019 327,6019 327,6019 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-18 1 1 326,1286 326,1286 326,1286 326,1286 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-19 1 1 327,5987 327,5987 327,5987 327,5987 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-20 1 1 327,5906 327,5906 327,5906 327,5906 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-21 1 1 329,7581 329,7581 329,7581 329,7581 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-22 1 1 327,6332 327,6332 327,6332 327,6332 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-25 1 1 328,1276 328,1276 328,1276 328,1276 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-26 1 1 330,086 330,086 330,086 330,086 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-27 1 1 331,745 331,745 331,745 331,745 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-28 1 1 332,0975 332,0975 332,0975 332,0975 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-07-29 1 1 331,7626 331,7626 331,7626 331,7626 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-01 1 1 331,1322 331,1322 331,1322 331,1322 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-02 1 1 331,1345 331,1345 331,1345 331,1345 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-03 1 1 332,2874 332,2874 332,2874 332,2874 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-04 1 1 329,5488 329,5488 329,5488 329,5488 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-05 1 1 327,7228 327,7228 327,7228 327,7228 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-08 1 1 328,0397 328,0397 328,0397 328,0397 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-09 1 1 328,663 328,663 328,663 328,663 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-10 1 1 331,4056 331,4056 331,4056 331,4056 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-11 1 1 329,6737 329,6737 329,6737 329,6737 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-12 1 1 328,7799 328,7799 328,7799 328,7799 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-15 1 1 328,5838 328,5838 328,5838 328,5838 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-16 1 1 329,7168 329,7168 329,7168 329,7168 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-17 1 1 326,8025 326,8025 326,8025 326,8025 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-18 1 1 326,8496 326,8496 326,8496 326,8496 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-19 1 1 329,6455 329,6455 329,6455 329,6455 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-22 1 1 331,0022 331,0022 331,0022 331,0022 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-23 1 1 329,3927 329,3927 329,3927 329,3927 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-24 1 1 325,4905 325,4905 325,4905 325,4905 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-25 1 1 324,9647 324,9647 324,9647 324,9647 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-26 1 1 324,7837 324,7837 324,7837 324,7837 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-29 1 1 323,7989 323,7989 323,7989 323,7989 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-30 1 1 326,6349 326,6349 326,6349 326,6349 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-08-31 1 1 328,3607 328,3607 328,3607 328,3607 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-01 1 1 332,2109 332,2109 332,2109 332,2109 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-02 1 1 330,3403 330,3403 330,3403 330,3403 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-05 1 1 331,6367 331,6367 331,6367 331,6367 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-06 1 1 333,9068 333,9068 333,9068 333,9068 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-07 1 1 336,2548 336,2548 336,2548 336,2548 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-08 1 1 335,7469 335,7469 335,7469 335,7469 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-09 1 1 338,3203 338,3203 338,3203 338,3203 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-12 1 1 337,7895 337,7895 337,7895 337,7895 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-13 1 1 335,9998 335,9998 335,9998 335,9998 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-14 1 1 336,2291 336,2291 336,2291 336,2291 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-15 1 1 336,4221 336,4221 336,4221 336,4221 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-16 1 1 338,4409 338,4409 338,4409 338,4409 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-19 1 1 338,6608 338,6608 338,6608 338,6608 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-20 1 1 338,7721 338,7721 338,7721 338,7721 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-21 1 1 336,5774 336,5774 336,5774 336,5774 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-22 1 1 334,2591 334,2591 334,2591 334,2591 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-23 1 1 336,8 336,8 336,8 336,8 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-26 1 1 341,377 341,377 341,377 341,377 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-27 1 1 341,3126 341,3126 341,3126 341,3126 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-28 1 1 343,8386 343,8386 343,8386 343,8386 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-29 1 1 344,2042 344,2042 344,2042 344,2042 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-09-30 1 1 344,5163 344,5163 344,5163 344,5163 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-03 1 1 345,5427 345,5427 345,5427 345,5427 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-04 1 1 347,4914 347,4914 347,4914 347,4914 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-05 1 1 345,3634 345,3634 345,3634 345,3634 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-06 1 1 338,4347 338,4347 338,4347 338,4347 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-07 1 1 337,8039 337,8039 337,8039 337,8039 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-10 1 1 339,3623 339,3623 339,3623 339,3623 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-11 1 1 338,596 338,596 338,596 338,596 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-12 1 1 338,0357 338,0357 338,0357 338,0357 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-13 1 1 332,1657 332,1657 332,1657 332,1657 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-14 1 1 334,431 334,431 334,431 334,431 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-17 1 1 336,3912 336,3912 336,3912 336,3912 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-18 1 1 333,9895 333,9895 333,9895 333,9895 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-19 1 1 328,5449 328,5449 328,5449 328,5449 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-20 1 1 330,8973 330,8973 330,8973 330,8973 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-21 1 1 327,5298 327,5298 327,5298 327,5298 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-24 1 1 332,562 332,562 332,562 332,562 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-25 1 1 332,1819 332,1819 332,1819 332,1819 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-26 1 1 331,5323 331,5323 331,5323 331,5323 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-27 1 1 328,7536 328,7536 328,7536 328,7536 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-28 1 1 328,7876 328,7876 328,7876 328,7876 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-10-31 1 1 336,1662 336,1662 336,1662 336,1662 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-01 1 1 339,9569 339,9569 339,9569 339,9569 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-02 1 1 341,1645 341,1645 341,1645 341,1645 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-03 1 1 347,2013 347,2013 347,2013 347,2013 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-04 1 1 348,251 348,251 348,251 348,251 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-07 1 1 350,8791 350,8791 350,8791 350,8791 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-08 1 1 348,5932 348,5932 348,5932 348,5932 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-09 1 1 349,1081 349,1081 349,1081 349,1081 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-10 1 1 352,1765 352,1765 352,1765 352,1765 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-11 1 1 352,4276 352,4276 352,4276 352,4276 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-14 1 1 352,7496 352,7496 352,7496 352,7496 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-15 1 1 354,1581 354,1581 354,1581 354,1581 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-16 1 1 352,154 352,154 352,154 352,154 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-17 1 1 354,6119 354,6119 354,6119 354,6119 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-18 1 1 355,187 355,187 355,187 355,187 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-21 1 1 353,4353 353,4353 353,4353 353,4353 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-22 1 1 353,4775 353,4775 353,4775 353,4775 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-23 1 1 353,5376 353,5376 353,5376 353,5376 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-24 1 1 351,3304 351,3304 351,3304 351,3304 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-25 1 1 349,8304 349,8304 349,8304 349,8304 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-28 1 1 348,8174 348,8174 348,8174 348,8174 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-29 1 1 348,1151 348,1151 348,1151 348,1151 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-11-30 1 1 347,8016 347,8016 347,8016 347,8016 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-01 1 1 351,4124 351,4124 351,4124 351,4124 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-02 1 1 352,362 352,362 352,362 352,362 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-05 1 1 353,1702 353,1702 353,1702 353,1702 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-06 1 1 351,1293 351,1293 351,1293 351,1293 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-07 1 1 352,9518 352,9518 352,9518 352,9518 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-08 1 1 351,9544 351,9544 351,9544 351,9544 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-12 1 1 353,0946 353,0946 353,0946 353,0946 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-13 1 1 352,9685 352,9685 352,9685 352,9685 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-14 1 1 351,1063 351,1063 351,1063 351,1063 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-15 1 1 351,0082 351,0082 351,0082 351,0082 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-16 1 1 353,0842 353,0842 353,0842 353,0842 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-19 1 1 352,8701 352,8701 352,8701 352,8701 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-20 1 1 352,7345 352,7345 352,7345 352,7345 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-21 1 1 355,8283 355,8283 355,8283 355,8283 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-22 1 1 357,8192 357,8192 357,8192 357,8192 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-23 1 1 357,7226 357,7226 357,7226 357,7226 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-27 1 1 359,2489 359,2489 359,2489 359,2489 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-28 1 1 356,3139 356,3139 356,3139 356,3139 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-29 1 1 357,804 357,804 357,804 357,804 577304 Nordea Fonder AB Nordea Selekta Europa SEK 2005-12-30 1 1 355,2643 355,2643 355,2643 355,2643 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-03 1 1 59,953 59,953 59,953 59,953 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-04 1 1 60,1958 60,1958 60,1958 60,1958 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-05 1 1 59,7977 59,7977 59,7977 59,7977 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-07 1 1 59,8932 59,8932 59,8932 59,8932 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-10 1 1 60,3939 60,3939 60,3939 60,3939 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-11 1 1 60,0213 60,0213 60,0213 60,0213 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-12 1 1 59,4619 59,4619 59,4619 59,4619 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-13 1 1 59,5488 59,5488 59,5488 59,5488 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-14 1 1 59,8518 59,8518 59,8518 59,8518 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-17 1 1 60,2764 60,2764 60,2764 60,2764 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-18 1 1 60,0733 60,0733 60,0733 60,0733 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-19 1 1 60,3165 60,3165 60,3165 60,3165 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-20 1 1 59,9182 59,9182 59,9182 59,9182 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-21 1 1 59,7812 59,7812 59,7812 59,7812 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-24 1 1 59,398 59,398 59,398 59,398 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-25 1 1 59,8159 59,8159 59,8159 59,8159 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-26 1 1 60,0081 60,0081 60,0081 60,0081 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-27 1 1 60,1053 60,1053 60,1053 60,1053 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-28 1 1 60,0327 60,0327 60,0327 60,0327 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-01-31 1 1 60,326 60,326 60,326 60,326 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-01 1 1 60,4187 60,4187 60,4187 60,4187 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-02 1 1 60,6838 60,6838 60,6838 60,6838 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-03 1 1 60,7703 60,7703 60,7703 60,7703 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-04 1 1 61,2271 61,2271 61,2271 61,2271 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-07 1 1 61,8544 61,8544 61,8544 61,8544 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-08 1 1 62,0272 62,0272 62,0272 62,0272 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-09 1 1 62,0338 62,0338 62,0338 62,0338 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-10 1 1 61,5969 61,5969 61,5969 61,5969 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-11 1 1 61,771 61,771 61,771 61,771 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-14 1 1 62,0496 62,0496 62,0496 62,0496 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-15 1 1 62,1378 62,1378 62,1378 62,1378 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-16 1 1 61,7544 61,7544 61,7544 61,7544 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-17 1 1 61,8115 61,8115 61,8115 61,8115 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-18 1 1 61,608 61,608 61,608 61,608 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-21 1 1 61,8195 61,8195 61,8195 61,8195 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-22 1 1 61,2454 61,2454 61,2454 61,2454 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-23 1 1 61,0073 61,0073 61,0073 61,0073 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-24 1 1 61,0494 61,0494 61,0494 61,0494 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-25 1 1 61,5791 61,5791 61,5791 61,5791 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-02-28 1 1 61,7744 61,7744 61,7744 61,7744 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-01 1 1 61,9131 61,9131 61,9131 61,9131 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-02 1 1 62,0565 62,0565 62,0565 62,0565 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-03 1 1 62,3036 62,3036 62,3036 62,3036 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-04 1 1 62,4014 62,4014 62,4014 62,4014 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-07 1 1 62,4381 62,4381 62,4381 62,4381 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-08 1 1 62,0777 62,0777 62,0777 62,0777 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-09 1 1 61,8561 61,8561 61,8561 61,8561 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-10 1 1 61,553 61,553 61,553 61,553 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-11 1 1 61,6729 61,6729 61,6729 61,6729 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-14 1 1 61,5554 61,5554 61,5554 61,5554 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-15 1 1 61,9761 61,9761 61,9761 61,9761 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-16 1 1 61,3046 61,3046 61,3046 61,3046 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-17 1 1 61,1837 61,1837 61,1837 61,1837 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-18 1 1 61,4467 61,4467 61,4467 61,4467 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-21 1 1 61,4433 61,4433 61,4433 61,4433 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-22 1 1 61,5458 61,5458 61,5458 61,5458 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-23 1 1 61,3885 61,3885 61,3885 61,3885 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-24 1 1 61,6198 61,6198 61,6198 61,6198 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-29 1 1 61,7297 61,7297 61,7297 61,7297 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-30 1 1 61,2274 61,2274 61,2274 61,2274 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-03-31 1 1 61,8447 61,8447 61,8447 61,8447 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-01 1 1 62,1931 62,1931 62,1931 62,1931 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-04 1 1 62,051 62,051 62,051 62,051 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-05 1 1 62,4759 62,4759 62,4759 62,4759 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-06 1 1 62,5888 62,5888 62,5888 62,5888 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-07 1 1 62,5873 62,5873 62,5873 62,5873 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-08 1 1 62,973 62,973 62,973 62,973 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-11 1 1 62,6475 62,6475 62,6475 62,6475 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-12 1 1 62,5434 62,5434 62,5434 62,5434 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-13 1 1 62,8188 62,8188 62,8188 62,8188 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-14 1 1 63,026 63,026 63,026 63,026 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-15 1 1 62,1956 62,1956 62,1956 62,1956 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-18 1 1 61,1255 61,1255 61,1255 61,1255 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-19 1 1 61,5113 61,5113 61,5113 61,5113 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-20 1 1 61,5427 61,5427 61,5427 61,5427 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-21 1 1 61,2555 61,2555 61,2555 61,2555 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-22 1 1 61,8165 61,8165 61,8165 61,8165 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-25 1 1 61,8568 61,8568 61,8568 61,8568 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-26 1 1 61,6135 61,6135 61,6135 61,6135 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-27 1 1 60,9037 60,9037 60,9037 60,9037 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-28 1 1 60,7714 60,7714 60,7714 60,7714 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-04-29 1 1 60,9439 60,9439 60,9439 60,9439 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-02 1 1 61,4307 61,4307 61,4307 61,4307 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-03 1 1 61,4877 61,4877 61,4877 61,4877 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-04 1 1 61,209 61,209 61,209 61,209 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-06 1 1 62,176 62,176 62,176 62,176 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-09 1 1 62,1181 62,1181 62,1181 62,1181 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-10 1 1 62,0225 62,0225 62,0225 62,0225 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-11 1 1 61,9611 61,9611 61,9611 61,9611 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-12 1 1 62,3616 62,3616 62,3616 62,3616 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-13 1 1 62,3345 62,3345 62,3345 62,3345 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-16 1 1 62,3397 62,3397 62,3397 62,3397 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-17 1 1 62,5921 62,5921 62,5921 62,5921 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-18 1 1 63,0796 63,0796 63,0796 63,0796 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-19 1 1 63,3303 63,3303 63,3303 63,3303 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-20 1 1 63,3416 63,3416 63,3416 63,3416 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-23 1 1 63,3212 63,3212 63,3212 63,3212 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-24 1 1 63,4121 63,4121 63,4121 63,4121 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-25 1 1 63,5141 63,5141 63,5141 63,5141 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-26 1 1 63,7818 63,7818 63,7818 63,7818 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-27 1 1 63,9957 63,9957 63,9957 63,9957 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-30 1 1 64,1389 64,1389 64,1389 64,1389 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-05-31 1 1 64,4017 64,4017 64,4017 64,4017 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-01 1 1 64,4638 64,4638 64,4638 64,4638 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-02 1 1 64,6127 64,6127 64,6127 64,6127 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-03 1 1 64,5892 64,5892 64,5892 64,5892 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-07 1 1 64,752 64,752 64,752 64,752 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-08 1 1 65,0429 65,0429 65,0429 65,0429 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-09 1 1 65,0963 65,0963 65,0963 65,0963 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-10 1 1 65,7059 65,7059 65,7059 65,7059 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-13 1 1 65,9885 65,9885 65,9885 65,9885 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-14 1 1 66,1274 66,1274 66,1274 66,1274 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-15 1 1 66,2537 66,2537 66,2537 66,2537 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-16 1 1 66,1963 66,1963 66,1963 66,1963 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-17 1 1 66,3561 66,3561 66,3561 66,3561 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-20 1 1 66,2902 66,2902 66,2902 66,2902 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-21 1 1 66,7067 66,7067 66,7067 66,7067 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-22 1 1 67,1036 67,1036 67,1036 67,1036 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-23 1 1 67,6916 67,6916 67,6916 67,6916 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-27 1 1 66,6969 66,6969 66,6969 66,6969 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-28 1 1 67,0199 67,0199 67,0199 67,0199 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-29 1 1 67,5268 67,5268 67,5268 67,5268 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-06-30 1 1 67,6229 67,6229 67,6229 67,6229 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-01 1 1 67,7212 67,7212 67,7212 67,7212 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-04 1 1 68,2087 68,2087 68,2087 68,2087 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-05 1 1 67,9544 67,9544 67,9544 67,9544 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-06 1 1 68,2324 68,2324 68,2324 68,2324 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-07 1 1 67,3775 67,3775 67,3775 67,3775 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-08 1 1 67,9965 67,9965 67,9965 67,9965 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-11 1 1 68,9092 68,9092 68,9092 68,9092 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-12 1 1 68,6821 68,6821 68,6821 68,6821 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-13 1 1 68,7181 68,7181 68,7181 68,7181 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-14 1 1 68,9343 68,9343 68,9343 68,9343 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-15 1 1 68,9413 68,9413 68,9413 68,9413 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-18 1 1 68,8135 68,8135 68,8135 68,8135 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-19 1 1 69,006 69,006 69,006 69,006 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-20 1 1 68,8763 68,8763 68,8763 68,8763 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-21 1 1 69,311 69,311 69,311 69,311 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-22 1 1 69,2252 69,2252 69,2252 69,2252 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-25 1 1 69,2443 69,2443 69,2443 69,2443 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-26 1 1 69,4349 69,4349 69,4349 69,4349 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-27 1 1 69,4969 69,4969 69,4969 69,4969 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-28 1 1 69,8069 69,8069 69,8069 69,8069 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-07-29 1 1 69,9058 69,9058 69,9058 69,9058 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-01 1 1 69,5789 69,5789 69,5789 69,5789 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-02 1 1 69,7076 69,7076 69,7076 69,7076 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-03 1 1 69,6951 69,6951 69,6951 69,6951 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-04 1 1 69,1694 69,1694 69,1694 69,1694 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-05 1 1 68,8051 68,8051 68,8051 68,8051 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-08 1 1 68,7186 68,7186 68,7186 68,7186 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-09 1 1 68,8554 68,8554 68,8554 68,8554 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-10 1 1 69,5897 69,5897 69,5897 69,5897 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-11 1 1 69,3375 69,3375 69,3375 69,3375 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-12 1 1 69,3931 69,3931 69,3931 69,3931 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-15 1 1 69,3655 69,3655 69,3655 69,3655 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-16 1 1 69,6141 69,6141 69,6141 69,6141 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-17 1 1 69,1314 69,1314 69,1314 69,1314 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-18 1 1 69,2406 69,2406 69,2406 69,2406 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-19 1 1 69,6765 69,6765 69,6765 69,6765 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-22 1 1 69,8049 69,8049 69,8049 69,8049 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-23 1 1 69,5171 69,5171 69,5171 69,5171 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-24 1 1 68,8168 68,8168 68,8168 68,8168 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-25 1 1 68,4404 68,4404 68,4404 68,4404 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-26 1 1 68,0822 68,0822 68,0822 68,0822 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-29 1 1 68,0636 68,0636 68,0636 68,0636 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-30 1 1 68,6213 68,6213 68,6213 68,6213 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-08-31 1 1 68,6791 68,6791 68,6791 68,6791 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-01 1 1 68,9084 68,9084 68,9084 68,9084 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-02 1 1 68,5387 68,5387 68,5387 68,5387 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-05 1 1 68,7338 68,7338 68,7338 68,7338 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-06 1 1 69,2355 69,2355 69,2355 69,2355 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-07 1 1 69,6333 69,6333 69,6333 69,6333 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-08 1 1 69,6231 69,6231 69,6231 69,6231 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-09 1 1 69,9623 69,9623 69,9623 69,9623 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-12 1 1 70,3906 70,3906 70,3906 70,3906 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-13 1 1 70,4007 70,4007 70,4007 70,4007 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-14 1 1 70,4508 70,4508 70,4508 70,4508 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-15 1 1 70,4409 70,4409 70,4409 70,4409 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-16 1 1 70,5288 70,5288 70,5288 70,5288 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-19 1 1 70,8427 70,8427 70,8427 70,8427 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-20 1 1 70,8667 70,8667 70,8667 70,8667 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-21 1 1 70,3045 70,3045 70,3045 70,3045 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-22 1 1 70,2036 70,2036 70,2036 70,2036 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-23 1 1 70,5489 70,5489 70,5489 70,5489 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-26 1 1 71,3643 71,3643 71,3643 71,3643 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-27 1 1 71,4996 71,4996 71,4996 71,4996 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-28 1 1 71,9204 71,9204 71,9204 71,9204 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-29 1 1 71,9321 71,9321 71,9321 71,9321 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-09-30 1 1 72,1458 72,1458 72,1458 72,1458 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-03 1 1 72,4806 72,4806 72,4806 72,4806 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-04 1 1 72,611 72,611 72,611 72,611 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-05 1 1 72,092 72,092 72,092 72,092 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-06 1 1 69,8052 69,8052 69,8052 69,8052 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-07 1 1 69,7613 69,7613 69,7613 69,7613 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-10 1 1 70,0133 70,0133 70,0133 70,0133 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-11 1 1 70,325 70,325 70,325 70,325 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-12 1 1 69,9443 69,9443 69,9443 69,9443 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-13 1 1 69,4768 69,4768 69,4768 69,4768 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-14 1 1 69,6063 69,6063 69,6063 69,6063 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-17 1 1 69,7292 69,7292 69,7292 69,7292 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-18 1 1 69,6218 69,6218 69,6218 69,6218 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-19 1 1 68,8331 68,8331 68,8331 68,8331 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-20 1 1 69,3347 69,3347 69,3347 69,3347 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-21 1 1 68,7607 68,7607 68,7607 68,7607 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-24 1 1 69,4442 69,4442 69,4442 69,4442 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-25 1 1 69,4157 69,4157 69,4157 69,4157 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-26 1 1 69,4843 69,4843 69,4843 69,4843 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-27 1 1 69,0716 69,0716 69,0716 69,0716 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-28 1 1 68,8704 68,8704 68,8704 68,8704 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-10-31 1 1 70,1994 70,1994 70,1994 70,1994 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-01 1 1 70,697 70,697 70,697 70,697 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-02 1 1 70,9321 70,9321 70,9321 70,9321 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-03 1 1 71,8098 71,8098 71,8098 71,8098 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-04 1 1 72,0208 72,0208 72,0208 72,0208 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-07 1 1 72,4758 72,4758 72,4758 72,4758 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-08 1 1 72,3042 72,3042 72,3042 72,3042 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-09 1 1 72,3072 72,3072 72,3072 72,3072 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-10 1 1 72,6302 72,6302 72,6302 72,6302 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-11 1 1 72,943 72,943 72,943 72,943 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-14 1 1 73,0346 73,0346 73,0346 73,0346 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-15 1 1 73,0736 73,0736 73,0736 73,0736 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-16 1 1 73,0729 73,0729 73,0729 73,0729 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-17 1 1 73,4068 73,4068 73,4068 73,4068 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-18 1 1 73,5515 73,5515 73,5515 73,5515 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-21 1 1 73,3009 73,3009 73,3009 73,3009 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-22 1 1 73,5246 73,5246 73,5246 73,5246 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-23 1 1 73,5003 73,5003 73,5003 73,5003 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-24 1 1 73,4867 73,4867 73,4867 73,4867 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-25 1 1 73,5399 73,5399 73,5399 73,5399 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-28 1 1 73,7125 73,7125 73,7125 73,7125 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-29 1 1 73,6887 73,6887 73,6887 73,6887 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-11-30 1 1 73,331 73,331 73,331 73,331 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-01 1 1 73,8817 73,8817 73,8817 73,8817 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-02 1 1 74,2813 74,2813 74,2813 74,2813 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-05 1 1 74,2029 74,2029 74,2029 74,2029 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-06 1 1 74,1482 74,1482 74,1482 74,1482 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-07 1 1 74,4695 74,4695 74,4695 74,4695 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-08 1 1 74,4154 74,4154 74,4154 74,4154 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-12 1 1 74,6344 74,6344 74,6344 74,6344 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-13 1 1 74,6313 74,6313 74,6313 74,6313 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-14 1 1 74,404 74,404 74,404 74,404 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-15 1 1 74,4492 74,4492 74,4492 74,4492 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-16 1 1 74,681 74,681 74,681 74,681 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-19 1 1 74,7089 74,7089 74,7089 74,7089 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-20 1 1 74,6211 74,6211 74,6211 74,6211 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-21 1 1 75,3821 75,3821 75,3821 75,3821 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-22 1 1 75,5093 75,5093 75,5093 75,5093 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-23 1 1 75,7845 75,7845 75,7845 75,7845 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-27 1 1 76,0918 76,0918 76,0918 76,0918 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-28 1 1 75,5359 75,5359 75,5359 75,5359 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-29 1 1 75,9306 75,9306 75,9306 75,9306 180166 Nordea Fonder AB Nordea SPARA Premiepension SEK 2005-12-30 1 1 75,5423 75,5423 75,5423 75,5423 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-03 1 1 532,592 532,592 532,592 532,592 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-04 1 1 535,0868 535,0868 535,0868 535,0868 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-05 1 1 529,8236 529,8236 529,8236 529,8236 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-07 1 1 531,5844 531,5844 531,5844 531,5844 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-10 1 1 537,799 537,799 537,799 537,799 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-11 1 1 533,1946 533,1946 533,1946 533,1946 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-12 1 1 525,4109 525,4109 525,4109 525,4109 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-13 1 1 525,4273 525,4273 525,4273 525,4273 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-14 1 1 527,2258 527,2258 527,2258 527,2258 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-17 1 1 530,9862 530,9862 530,9862 530,9862 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-18 1 1 527,2405 527,2405 527,2405 527,2405 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-19 1 1 530,9481 530,9481 530,9481 530,9481 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-20 1 1 525,8892 525,8892 525,8892 525,8892 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-21 1 1 525,3517 525,3517 525,3517 525,3517 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-24 1 1 519,0338 519,0338 519,0338 519,0338 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-25 1 1 525,2071 525,2071 525,2071 525,2071 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-26 1 1 526,2002 526,2002 526,2002 526,2002 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-27 1 1 528,6128 528,6128 528,6128 528,6128 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-28 1 1 526,6365 526,6365 526,6365 526,6365 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-01-31 1 1 529,999 529,999 529,999 529,999 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-01 1 1 531,9393 531,9393 531,9393 531,9393 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-02 1 1 535,4412 535,4412 535,4412 535,4412 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-03 1 1 535,4017 535,4017 535,4017 535,4017 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-04 1 1 540,4581 540,4581 540,4581 540,4581 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-07 1 1 545,901 545,901 545,901 545,901 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-08 1 1 546,9605 546,9605 546,9605 546,9605 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-09 1 1 549,3088 549,3088 549,3088 549,3088 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-10 1 1 543,2942 543,2942 543,2942 543,2942 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-11 1 1 547,1285 547,1285 547,1285 547,1285 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-14 1 1 549,3208 549,3208 549,3208 549,3208 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-15 1 1 551,0075 551,0075 551,0075 551,0075 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-16 1 1 546,5942 546,5942 546,5942 546,5942 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-17 1 1 549,3791 549,3791 549,3791 549,3791 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-18 1 1 547,4085 547,4085 547,4085 547,4085 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-21 1 1 549,2241 549,2241 549,2241 549,2241 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-22 1 1 544,6946 544,6946 544,6946 544,6946 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-23 1 1 545,6741 545,6741 545,6741 545,6741 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-24 1 1 548,3964 548,3964 548,3964 548,3964 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-25 1 1 552,2772 552,2772 552,2772 552,2772 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-02-28 1 1 554,889 554,889 554,889 554,889 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-01 1 1 555,4145 555,4145 555,4145 555,4145 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-02 1 1 556,3648 556,3648 556,3648 556,3648 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-03 1 1 560,6076 560,6076 560,6076 560,6076 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-04 1 1 563,3896 563,3896 563,3896 563,3896 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-07 1 1 563,4667 563,4667 563,4667 563,4667 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-08 1 1 559,9074 559,9074 559,9074 559,9074 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-09 1 1 558,5455 558,5455 558,5455 558,5455 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-10 1 1 555,9192 555,9192 555,9192 555,9192 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-11 1 1 558,034 558,034 558,034 558,034 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-14 1 1 556,6057 556,6057 556,6057 556,6057 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-15 1 1 560,6804 560,6804 560,6804 560,6804 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-16 1 1 556,8465 556,8465 556,8465 556,8465 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-17 1 1 554,464 554,464 554,464 554,464 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-18 1 1 554,8765 554,8765 554,8765 554,8765 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-21 1 1 552,451 552,451 552,451 552,451 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-22 1 1 555,153 555,153 555,153 555,153 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-23 1 1 552,2817 552,2817 552,2817 552,2817 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-24 1 1 555,8459 555,8459 555,8459 555,8459 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-29 1 1 555,6339 555,6339 555,6339 555,6339 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-30 1 1 551,1711 551,1711 551,1711 551,1711 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-03-31 1 1 555,8978 555,8978 555,8978 555,8978 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-01 1 1 560,2869 560,2869 560,2869 560,2869 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-04 1 1 558,5717 558,5717 558,5717 558,5717 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-05 1 1 563,9687 563,9687 563,9687 563,9687 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-06 1 1 566,7384 566,7384 566,7384 566,7384 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-07 1 1 567,5275 567,5275 567,5275 567,5275 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-08 1 1 570,6815 570,6815 570,6815 570,6815 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-11 1 1 571,869 571,869 571,869 571,869 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-12 1 1 570,7421 570,7421 570,7421 570,7421 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-13 1 1 573,8555 573,8555 573,8555 573,8555 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-14 1 1 578,4007 578,4007 578,4007 578,4007 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-15 1 1 569,4474 569,4474 569,4474 569,4474 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-18 1 1 560,1883 560,1883 560,1883 560,1883 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-19 1 1 563,7564 563,7564 563,7564 563,7564 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-20 1 1 563,7289 563,7289 563,7289 563,7289 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-21 1 1 563,3502 563,3502 563,3502 563,3502 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-22 1 1 568,6402 568,6402 568,6402 568,6402 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-25 1 1 567,637 567,637 567,637 567,637 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-26 1 1 562,7368 562,7368 562,7368 562,7368 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-27 1 1 549,2667 549,2667 549,2667 549,2667 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-28 1 1 543,3893 543,3893 543,3893 543,3893 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-04-29 1 1 547,2536 547,2536 547,2536 547,2536 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-02 1 1 550,5429 550,5429 550,5429 550,5429 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-03 1 1 551,1865 551,1865 551,1865 551,1865 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-04 1 1 549,7527 549,7527 549,7527 549,7527 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-06 1 1 557,4289 557,4289 557,4289 557,4289 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-09 1 1 557,6855 557,6855 557,6855 557,6855 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-10 1 1 554,69 554,69 554,69 554,69 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-11 1 1 554,726 554,726 554,726 554,726 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-12 1 1 558,1354 558,1354 558,1354 558,1354 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-13 1 1 558,2903 558,2903 558,2903 558,2903 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-16 1 1 559,823 559,823 559,823 559,823 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-17 1 1 562,457 562,457 562,457 562,457 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-18 1 1 567,5188 567,5188 567,5188 567,5188 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-19 1 1 568,36 568,36 568,36 568,36 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-20 1 1 568,4585 568,4585 568,4585 568,4585 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-23 1 1 568,6573 568,6573 568,6573 568,6573 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-24 1 1 569,672 569,672 569,672 569,672 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-25 1 1 570,3224 570,3224 570,3224 570,3224 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-26 1 1 572,9662 572,9662 572,9662 572,9662 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-27 1 1 574,6456 574,6456 574,6456 574,6456 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-30 1 1 576,4008 576,4008 576,4008 576,4008 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-05-31 1 1 577,3122 577,3122 577,3122 577,3122 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-01 1 1 576,7603 576,7603 576,7603 576,7603 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-02 1 1 575,2699 575,2699 575,2699 575,2699 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-03 1 1 572,3645 572,3645 572,3645 572,3645 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-07 1 1 575,1012 575,1012 575,1012 575,1012 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-08 1 1 579,5619 579,5619 579,5619 579,5619 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-09 1 1 578,6165 578,6165 578,6165 578,6165 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-10 1 1 582,0017 582,0017 582,0017 582,0017 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-13 1 1 581,9221 581,9221 581,9221 581,9221 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-14 1 1 585,1851 585,1851 585,1851 585,1851 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-15 1 1 584,7974 584,7974 584,7974 584,7974 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-16 1 1 584,9264 584,9264 584,9264 584,9264 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-17 1 1 588,9661 588,9661 588,9661 588,9661 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-20 1 1 588,3602 588,3602 588,3602 588,3602 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-21 1 1 592,0314 592,0314 592,0314 592,0314 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-22 1 1 595,998 595,998 595,998 595,998 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-23 1 1 599,4607 599,4607 599,4607 599,4607 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-27 1 1 589,9087 589,9087 589,9087 589,9087 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-28 1 1 592,5897 592,5897 592,5897 592,5897 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-29 1 1 597,1515 597,1515 597,1515 597,1515 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-06-30 1 1 598,7182 598,7182 598,7182 598,7182 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-01 1 1 600,6414 600,6414 600,6414 600,6414 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-04 1 1 603,9731 603,9731 603,9731 603,9731 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-05 1 1 602,7585 602,7585 602,7585 602,7585 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-06 1 1 604,7212 604,7212 604,7212 604,7212 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-07 1 1 593,5264 593,5264 593,5264 593,5264 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-08 1 1 602,4678 602,4678 602,4678 602,4678 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-11 1 1 611,9681 611,9681 611,9681 611,9681 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-12 1 1 612,7113 612,7113 612,7113 612,7113 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-13 1 1 615,3236 615,3236 615,3236 615,3236 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-14 1 1 614,511 614,511 614,511 614,511 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-15 1 1 613,4244 613,4244 613,4244 613,4244 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-18 1 1 613,9505 613,9505 613,9505 613,9505 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-19 1 1 613,5354 613,5354 613,5354 613,5354 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-20 1 1 611,8655 611,8655 611,8655 611,8655 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-21 1 1 615,9369 615,9369 615,9369 615,9369 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-22 1 1 617,9898 617,9898 617,9898 617,9898 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-25 1 1 614,4537 614,4537 614,4537 614,4537 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-26 1 1 617,3154 617,3154 617,3154 617,3154 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-27 1 1 617,9887 617,9887 617,9887 617,9887 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-28 1 1 622,9554 622,9554 622,9554 622,9554 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-07-29 1 1 623,7042 623,7042 623,7042 623,7042 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-01 1 1 624,0187 624,0187 624,0187 624,0187 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-02 1 1 627,5377 627,5377 627,5377 627,5377 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-03 1 1 625,8535 625,8535 625,8535 625,8535 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-04 1 1 623,8551 623,8551 623,8551 623,8551 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-05 1 1 622,8038 622,8038 622,8038 622,8038 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-08 1 1 624,4793 624,4793 624,4793 624,4793 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-09 1 1 626,7779 626,7779 626,7779 626,7779 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-10 1 1 636,5557 636,5557 636,5557 636,5557 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-11 1 1 632,41 632,41 632,41 632,41 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-12 1 1 631,6228 631,6228 631,6228 631,6228 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-15 1 1 630,3253 630,3253 630,3253 630,3253 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-16 1 1 631,9626 631,9626 631,9626 631,9626 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-17 1 1 629,617 629,617 629,617 629,617 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-18 1 1 629,2644 629,2644 629,2644 629,2644 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-19 1 1 633,8975 633,8975 633,8975 633,8975 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-22 1 1 633,8218 633,8218 633,8218 633,8218 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-23 1 1 629,241 629,241 629,241 629,241 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-24 1 1 620,2664 620,2664 620,2664 620,2664 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-25 1 1 615,128 615,128 615,128 615,128 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-26 1 1 611,6927 611,6927 611,6927 611,6927 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-29 1 1 613,5595 613,5595 613,5595 613,5595 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-30 1 1 616,9454 616,9454 616,9454 616,9454 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-08-31 1 1 620,0453 620,0453 620,0453 620,0453 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-01 1 1 624,9763 624,9763 624,9763 624,9763 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-02 1 1 624,0233 624,0233 624,0233 624,0233 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-05 1 1 627,1921 627,1921 627,1921 627,1921 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-06 1 1 630,3625 630,3625 630,3625 630,3625 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-07 1 1 632,2855 632,2855 632,2855 632,2855 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-08 1 1 630,6742 630,6742 630,6742 630,6742 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-09 1 1 633,8437 633,8437 633,8437 633,8437 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-12 1 1 636,4029 636,4029 636,4029 636,4029 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-13 1 1 633,7841 633,7841 633,7841 633,7841 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-14 1 1 637,307 637,307 637,307 637,307 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-15 1 1 635,3582 635,3582 635,3582 635,3582 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-16 1 1 635,7215 635,7215 635,7215 635,7215 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-19 1 1 637,8431 637,8431 637,8431 637,8431 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-20 1 1 635,6606 635,6606 635,6606 635,6606 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-21 1 1 633,0125 633,0125 633,0125 633,0125 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-22 1 1 631,3006 631,3006 631,3006 631,3006 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-23 1 1 632,6724 632,6724 632,6724 632,6724 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-26 1 1 639,5124 639,5124 639,5124 639,5124 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-27 1 1 641,2338 641,2338 641,2338 641,2338 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-28 1 1 645,0825 645,0825 645,0825 645,0825 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-29 1 1 645,5855 645,5855 645,5855 645,5855 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-09-30 1 1 652,2063 652,2063 652,2063 652,2063 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-03 1 1 655,0202 655,0202 655,0202 655,0202 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-04 1 1 655,5472 655,5472 655,5472 655,5472 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-05 1 1 651,0642 651,0642 651,0642 651,0642 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-06 1 1 644,2732 644,2732 644,2732 644,2732 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-07 1 1 643,8906 643,8906 643,8906 643,8906 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-10 1 1 647,1616 647,1616 647,1616 647,1616 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-11 1 1 648,1225 648,1225 648,1225 648,1225 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-12 1 1 644,0471 644,0471 644,0471 644,0471 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-13 1 1 635,0007 635,0007 635,0007 635,0007 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-14 1 1 634,6746 634,6746 634,6746 634,6746 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-17 1 1 634,5652 634,5652 634,5652 634,5652 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-18 1 1 630,2956 630,2956 630,2956 630,2956 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-19 1 1 620,0144 620,0144 620,0144 620,0144 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-20 1 1 624,8034 624,8034 624,8034 624,8034 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-21 1 1 618,275 618,275 618,275 618,275 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-24 1 1 625,3953 625,3953 625,3953 625,3953 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-25 1 1 629,9826 629,9826 629,9826 629,9826 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-26 1 1 632,6147 632,6147 632,6147 632,6147 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-27 1 1 628,4502 628,4502 628,4502 628,4502 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-28 1 1 625,1495 625,1495 625,1495 625,1495 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-10-31 1 1 639,8045 639,8045 639,8045 639,8045 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-01 1 1 631,0107 631,0107 631,0107 631,0107 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-02 1 1 632,8208 632,8208 632,8208 632,8208 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-03 1 1 640,9777 640,9777 640,9777 640,9777 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-04 1 1 640,3396 640,3396 640,3396 640,3396 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-07 1 1 643,106 643,106 643,106 643,106 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-08 1 1 641,8005 641,8005 641,8005 641,8005 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-09 1 1 642,7131 642,7131 642,7131 642,7131 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-10 1 1 644,223 644,223 644,223 644,223 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-11 1 1 648,6133 648,6133 648,6133 648,6133 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-14 1 1 651,4043 651,4043 651,4043 651,4043 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-15 1 1 648,0831 648,0831 648,0831 648,0831 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-16 1 1 648,4239 648,4239 648,4239 648,4239 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-17 1 1 650,47 650,47 650,47 650,47 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-18 1 1 652,9068 652,9068 652,9068 652,9068 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-21 1 1 654,0984 654,0984 654,0984 654,0984 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-22 1 1 656,3476 656,3476 656,3476 656,3476 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-23 1 1 656,7081 656,7081 656,7081 656,7081 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-24 1 1 654,2123 654,2123 654,2123 654,2123 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-25 1 1 656,0039 656,0039 656,0039 656,0039 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-28 1 1 658,0506 658,0506 658,0506 658,0506 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-29 1 1 657,1794 657,1794 657,1794 657,1794 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-11-30 1 1 651,5232 651,5232 651,5232 651,5232 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-01 1 1 658,9868 658,9868 658,9868 658,9868 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-02 1 1 665,5706 665,5706 665,5706 665,5706 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-05 1 1 664,5527 664,5527 664,5527 664,5527 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-06 1 1 666,6449 666,6449 666,6449 666,6449 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-07 1 1 665,305 665,305 665,305 665,305 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-08 1 1 665,9126 665,9126 665,9126 665,9126 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-12 1 1 670,0676 670,0676 670,0676 670,0676 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-13 1 1 668,7608 668,7608 668,7608 668,7608 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-14 1 1 666,7073 666,7073 666,7073 666,7073 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-15 1 1 665,7322 665,7322 665,7322 665,7322 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-16 1 1 668,1107 668,1107 668,1107 668,1107 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-19 1 1 671,9902 671,9902 671,9902 671,9902 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-20 1 1 672,5677 672,5677 672,5677 672,5677 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-21 1 1 677,4654 677,4654 677,4654 677,4654 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-22 1 1 679,4467 679,4467 679,4467 679,4467 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-23 1 1 685,7442 685,7442 685,7442 685,7442 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-27 1 1 690,2328 690,2328 690,2328 690,2328 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-28 1 1 688,9492 688,9492 688,9492 688,9492 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-29 1 1 690,803 690,803 690,803 690,803 254185 Nordea Fonder AB Nordea Sverigefond SEK 2005-12-30 1 1 687,3649 687,3649 687,3649 687,3649 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-03 1 1 135,2305 135,2305 135,2305 135,2305 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-04 1 1 135,7672 135,7672 135,7672 135,7672 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-05 1 1 135,2894 135,2894 135,2894 135,2894 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-07 1 1 135,067 135,067 135,067 135,067 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-10 1 1 136,1716 136,1716 136,1716 136,1716 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-11 1 1 135,5623 135,5623 135,5623 135,5623 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-12 1 1 134,4555 134,4555 134,4555 134,4555 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-13 1 1 134,7706 134,7706 134,7706 134,7706 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-14 1 1 136,0201 136,0201 136,0201 136,0201 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-17 1 1 138,0342 138,0342 138,0342 138,0342 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-18 1 1 137,7531 137,7531 137,7531 137,7531 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-19 1 1 137,9914 137,9914 137,9914 137,9914 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-20 1 1 137,3679 137,3679 137,3679 137,3679 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-21 1 1 136,8378 136,8378 136,8378 136,8378 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-24 1 1 136,0646 136,0646 136,0646 136,0646 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-25 1 1 136,9328 136,9328 136,9328 136,9328 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-26 1 1 138,0597 138,0597 138,0597 138,0597 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-27 1 1 138,4082 138,4082 138,4082 138,4082 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-28 1 1 138,6582 138,6582 138,6582 138,6582 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-01-31 1 1 139,6986 139,6986 139,6986 139,6986 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-01 1 1 139,2373 139,2373 139,2373 139,2373 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-02 1 1 139,4817 139,4817 139,4817 139,4817 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-03 1 1 140,4514 140,4514 140,4514 140,4514 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-04 1 1 141,8404 141,8404 141,8404 141,8404 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-07 1 1 144,3924 144,3924 144,3924 144,3924 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-08 1 1 145,2457 145,2457 145,2457 145,2457 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-09 1 1 144,4319 144,4319 144,4319 144,4319 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-10 1 1 143,0226 143,0226 143,0226 143,0226 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-11 1 1 143,1317 143,1317 143,1317 143,1317 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-14 1 1 143,9196 143,9196 143,9196 143,9196 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-15 1 1 144,019 144,019 144,019 144,019 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-16 1 1 143,1613 143,1613 143,1613 143,1613 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-17 1 1 142,7675 142,7675 142,7675 142,7675 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-18 1 1 142,4233 142,4233 142,4233 142,4233 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-21 1 1 143,2382 143,2382 143,2382 143,2382 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-22 1 1 141,4473 141,4473 141,4473 141,4473 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-23 1 1 140,4108 140,4108 140,4108 140,4108 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-24 1 1 140,2078 140,2078 140,2078 140,2078 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-25 1 1 142,2633 142,2633 142,2633 142,2633 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-02-28 1 1 142,6741 142,6741 142,6741 142,6741 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-01 1 1 143,3264 143,3264 143,3264 143,3264 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-02 1 1 143,8879 143,8879 143,8879 143,8879 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-03 1 1 144,1129 144,1129 144,1129 144,1129 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-04 1 1 143,4994 143,4994 143,4994 143,4994 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-07 1 1 143,6282 143,6282 143,6282 143,6282 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-08 1 1 142,4137 142,4137 142,4137 142,4137 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-09 1 1 141,6225 141,6225 141,6225 141,6225 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-10 1 1 140,8865 140,8865 140,8865 140,8865 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-11 1 1 141,2062 141,2062 141,2062 141,2062 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-14 1 1 140,4593 140,4593 140,4593 140,4593 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-15 1 1 141,0498 141,0498 141,0498 141,0498 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-16 1 1 139,3483 139,3483 139,3483 139,3483 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-17 1 1 138,9399 138,9399 138,9399 138,9399 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-18 1 1 140,091 140,091 140,091 140,091 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-21 1 1 140,4593 140,4593 140,4593 140,4593 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-22 1 1 139,9646 139,9646 139,9646 139,9646 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-23 1 1 139,8728 139,8728 139,8728 139,8728 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-24 1 1 140,4645 140,4645 140,4645 140,4645 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-29 1 1 141,0678 141,0678 141,0678 141,0678 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-30 1 1 139,6705 139,6705 139,6705 139,6705 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-03-31 1 1 141,8257 141,8257 141,8257 141,8257 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-01 1 1 142,7997 142,7997 142,7997 142,7997 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-04 1 1 142,5094 142,5094 142,5094 142,5094 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-05 1 1 143,2388 143,2388 143,2388 143,2388 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-06 1 1 143,2079 143,2079 143,2079 143,2079 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-07 1 1 142,8601 142,8601 142,8601 142,8601 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-08 1 1 144,8052 144,8052 144,8052 144,8052 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-11 1 1 142,6588 142,6588 142,6588 142,6588 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-12 1 1 142,3163 142,3163 142,3163 142,3163 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-13 1 1 143,2662 143,2662 143,2662 143,2662 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-14 1 1 143,4859 143,4859 143,4859 143,4859 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-15 1 1 141,3963 141,3963 141,3963 141,3963 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-18 1 1 138,3343 138,3343 138,3343 138,3343 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-19 1 1 138,9227 138,9227 138,9227 138,9227 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-20 1 1 139,2439 139,2439 139,2439 139,2439 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-21 1 1 138,2808 138,2808 138,2808 138,2808 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-22 1 1 139,8284 139,8284 139,8284 139,8284 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-25 1 1 139,9389 139,9389 139,9389 139,9389 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-26 1 1 140,2985 140,2985 140,2985 140,2985 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-27 1 1 139,7849 139,7849 139,7849 139,7849 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-28 1 1 139,4118 139,4118 139,4118 139,4118 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-04-29 1 1 139,3619 139,3619 139,3619 139,3619 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-02 1 1 141,025 141,025 141,025 141,025 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-03 1 1 140,9464 140,9464 140,9464 140,9464 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-04 1 1 140,5536 140,5536 140,5536 140,5536 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-06 1 1 143,8116 143,8116 143,8116 143,8116 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-09 1 1 143,7295 143,7295 143,7295 143,7295 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-10 1 1 143,979 143,979 143,979 143,979 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-11 1 1 143,4821 143,4821 143,4821 143,4821 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-12 1 1 144,6718 144,6718 144,6718 144,6718 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-13 1 1 144,8459 144,8459 144,8459 144,8459 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-16 1 1 144,7916 144,7916 144,7916 144,7916 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-17 1 1 145,1291 145,1291 145,1291 145,1291 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-18 1 1 146,687 146,687 146,687 146,687 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-19 1 1 147,8418 147,8418 147,8418 147,8418 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-20 1 1 147,9853 147,9853 147,9853 147,9853 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-23 1 1 147,9958 147,9958 147,9958 147,9958 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-24 1 1 147,9088 147,9088 147,9088 147,9088 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-25 1 1 148,0364 148,0364 148,0364 148,0364 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-26 1 1 148,9047 148,9047 148,9047 148,9047 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-27 1 1 149,6413 149,6413 149,6413 149,6413 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-30 1 1 150,2127 150,2127 150,2127 150,2127 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-05-31 1 1 151,2149 151,2149 151,2149 151,2149 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-01 1 1 151,5523 151,5523 151,5523 151,5523 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-02 1 1 152,6916 152,6916 152,6916 152,6916 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-03 1 1 152,7408 152,7408 152,7408 152,7408 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-07 1 1 152,8305 152,8305 152,8305 152,8305 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-08 1 1 153,4909 153,4909 153,4909 153,4909 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-09 1 1 153,7866 153,7866 153,7866 153,7866 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-10 1 1 155,6958 155,6958 155,6958 155,6958 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-13 1 1 157,0574 157,0574 157,0574 157,0574 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-14 1 1 157,8249 157,8249 157,8249 157,8249 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-15 1 1 158,3131 158,3131 158,3131 158,3131 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-16 1 1 158,4401 158,4401 158,4401 158,4401 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-17 1 1 158,2952 158,2952 158,2952 158,2952 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-20 1 1 158,4594 158,4594 158,4594 158,4594 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-21 1 1 159,1305 159,1305 159,1305 159,1305 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-22 1 1 160,4391 160,4391 160,4391 160,4391 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-23 1 1 162,7086 162,7086 162,7086 162,7086 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-27 1 1 159,3424 159,3424 159,3424 159,3424 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-28 1 1 160,4344 160,4344 160,4344 160,4344 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-29 1 1 161,6947 161,6947 161,6947 161,6947 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-06-30 1 1 161,5423 161,5423 161,5423 161,5423 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-01 1 1 161,696 161,696 161,696 161,696 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-04 1 1 163,3712 163,3712 163,3712 163,3712 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-05 1 1 162,1212 162,1212 162,1212 162,1212 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-06 1 1 162,2899 162,2899 162,2899 162,2899 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-07 1 1 160,9615 160,9615 160,9615 160,9615 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-08 1 1 161,7428 161,7428 161,7428 161,7428 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-11 1 1 164,3302 164,3302 164,3302 164,3302 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-12 1 1 163,0288 163,0288 163,0288 163,0288 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-13 1 1 162,5212 162,5212 162,5212 162,5212 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-14 1 1 163,7504 163,7504 163,7504 163,7504 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-15 1 1 163,9815 163,9815 163,9815 163,9815 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-18 1 1 163,379 163,379 163,379 163,379 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-19 1 1 164,9953 164,9953 164,9953 164,9953 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-20 1 1 165,4708 165,4708 165,4708 165,4708 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-21 1 1 165,8285 165,8285 165,8285 165,8285 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-22 1 1 165,8407 165,8407 165,8407 165,8407 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-25 1 1 166,6676 166,6676 166,6676 166,6676 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-26 1 1 167,7993 167,7993 167,7993 167,7993 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-27 1 1 167,3977 167,3977 167,3977 167,3977 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-28 1 1 167,8437 167,8437 167,8437 167,8437 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-07-29 1 1 168,1457 168,1457 168,1457 168,1457 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-01 1 1 167,0944 167,0944 167,0944 167,0944 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-02 1 1 167,6455 167,6455 167,6455 167,6455 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-03 1 1 166,8064 166,8064 166,8064 166,8064 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-04 1 1 164,7579 164,7579 164,7579 164,7579 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-05 1 1 163,5439 163,5439 163,5439 163,5439 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-08 1 1 163,205 163,205 163,205 163,205 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-09 1 1 163,598 163,598 163,598 163,598 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-10 1 1 165,3953 165,3953 165,3953 165,3953 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-11 1 1 165,0444 165,0444 165,0444 165,0444 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-12 1 1 165,3237 165,3237 165,3237 165,3237 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-15 1 1 165,8934 165,8934 165,8934 165,8934 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-16 1 1 166,6383 166,6383 166,6383 166,6383 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-17 1 1 165,4631 165,4631 165,4631 165,4631 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-18 1 1 165,9394 165,9394 165,9394 165,9394 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-19 1 1 166,6245 166,6245 166,6245 166,6245 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-22 1 1 167,509 167,509 167,509 167,509 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-23 1 1 166,8371 166,8371 166,8371 166,8371 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-24 1 1 165,2575 165,2575 165,2575 165,2575 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-25 1 1 165,1253 165,1253 165,1253 165,1253 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-26 1 1 164,1161 164,1161 164,1161 164,1161 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-29 1 1 163,1651 163,1651 163,1651 163,1651 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-30 1 1 165,2293 165,2293 165,2293 165,2293 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-08-31 1 1 165,1517 165,1517 165,1517 165,1517 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-01 1 1 165,4215 165,4215 165,4215 165,4215 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-02 1 1 163,6436 163,6436 163,6436 163,6436 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-05 1 1 163,3041 163,3041 163,3041 163,3041 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-06 1 1 164,6134 164,6134 164,6134 164,6134 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-07 1 1 166,3804 166,3804 166,3804 166,3804 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-08 1 1 166,6815 166,6815 166,6815 166,6815 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-09 1 1 167,7192 167,7192 167,7192 167,7192 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-12 1 1 169,7636 169,7636 169,7636 169,7636 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-13 1 1 169,8802 169,8802 169,8802 169,8802 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-14 1 1 169,7425 169,7425 169,7425 169,7425 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-15 1 1 170,4988 170,4988 170,4988 170,4988 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-16 1 1 170,5766 170,5766 170,5766 170,5766 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-19 1 1 171,5929 171,5929 171,5929 171,5929 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-20 1 1 172,6918 172,6918 172,6918 172,6918 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-21 1 1 170,6413 170,6413 170,6413 170,6413 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-22 1 1 170,0297 170,0297 170,0297 170,0297 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-23 1 1 170,7797 170,7797 170,7797 170,7797 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-26 1 1 173,1683 173,1683 173,1683 173,1683 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-27 1 1 173,6599 173,6599 173,6599 173,6599 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-28 1 1 174,9827 174,9827 174,9827 174,9827 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-29 1 1 174,896 174,896 174,896 174,896 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-09-30 1 1 175,49 175,49 175,49 175,49 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-03 1 1 175,5297 175,5297 175,5297 175,5297 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-04 1 1 176,3665 176,3665 176,3665 176,3665 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-05 1 1 174,6253 174,6253 174,6253 174,6253 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-06 1 1 168,9162 168,9162 168,9162 168,9162 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-07 1 1 168,9679 168,9679 168,9679 168,9679 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-11 1 1 171,918 171,918 171,918 171,918 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-12 1 1 170,4491 170,4491 170,4491 170,4491 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-13 1 1 169,8596 169,8596 169,8596 169,8596 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-14 1 1 169,7509 169,7509 169,7509 169,7509 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-17 1 1 169,6721 169,6721 169,6721 169,6721 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-18 1 1 169,8776 169,8776 169,8776 169,8776 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-19 1 1 167,0681 167,0681 167,0681 167,0681 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-20 1 1 169,0501 169,0501 169,0501 169,0501 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-21 1 1 167,517 167,517 167,517 167,517 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-24 1 1 169,7814 169,7814 169,7814 169,7814 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-25 1 1 169,1277 169,1277 169,1277 169,1277 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-26 1 1 169,2122 169,2122 169,2122 169,2122 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-27 1 1 168,066 168,066 168,066 168,066 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-28 1 1 167,7161 167,7161 167,7161 167,7161 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-10-31 1 1 172,1674 172,1674 172,1674 172,1674 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-01 1 1 174,0313 174,0313 174,0313 174,0313 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-02 1 1 175,238 175,238 175,238 175,238 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-03 1 1 178,1244 178,1244 178,1244 178,1244 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-04 1 1 179,5934 179,5934 179,5934 179,5934 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-07 1 1 181,1802 181,1802 181,1802 181,1802 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-08 1 1 181,0163 181,0163 181,0163 181,0163 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-09 1 1 181,2469 181,2469 181,2469 181,2469 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-10 1 1 182,7189 182,7189 182,7189 182,7189 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-11 1 1 184,0558 184,0558 184,0558 184,0558 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-14 1 1 184,3854 184,3854 184,3854 184,3854 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-15 1 1 185,4445 185,4445 185,4445 185,4445 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-16 1 1 185,2324 185,2324 185,2324 185,2324 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-17 1 1 185,8655 185,8655 185,8655 185,8655 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-18 1 1 186,3581 186,3581 186,3581 186,3581 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-21 1 1 184,9168 184,9168 184,9168 184,9168 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-22 1 1 185,6619 185,6619 185,6619 185,6619 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-23 1 1 185,1387 185,1387 185,1387 185,1387 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-24 1 1 184,9384 184,9384 184,9384 184,9384 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-25 1 1 184,6791 184,6791 184,6791 184,6791 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-28 1 1 185,3312 185,3312 185,3312 185,3312 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-29 1 1 184,6035 184,6035 184,6035 184,6035 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-11-30 1 1 184,7234 184,7234 184,7234 184,7234 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-01 1 1 186,4028 186,4028 186,4028 186,4028 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-02 1 1 186,6374 186,6374 186,6374 186,6374 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-05 1 1 187,0035 187,0035 187,0035 187,0035 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-06 1 1 186,2598 186,2598 186,2598 186,2598 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-07 1 1 188,2642 188,2642 188,2642 188,2642 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-08 1 1 187,7299 187,7299 187,7299 187,7299 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-12 1 1 187,4077 187,4077 187,4077 187,4077 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-13 1 1 188,2485 188,2485 188,2485 188,2485 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-14 1 1 187,1081 187,1081 187,1081 187,1081 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-15 1 1 187,3118 187,3118 187,3118 187,3118 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-16 1 1 187,8849 187,8849 187,8849 187,8849 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-19 1 1 188,1771 188,1771 188,1771 188,1771 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-20 1 1 188,6675 188,6675 188,6675 188,6675 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-21 1 1 191,7033 191,7033 191,7033 191,7033 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-22 1 1 192,5884 192,5884 192,5884 192,5884 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-23 1 1 192,9005 192,9005 192,9005 192,9005 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-27 1 1 193,247 193,247 193,247 193,247 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-28 1 1 190,5139 190,5139 190,5139 190,5139 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-29 1 1 192,1303 192,1303 192,1303 192,1303 144337 Nordea Fonder AB Nordea Tillväxtbolagsfond SEK 2005-12-30 1 1 190,8518 190,8518 190,8518 190,8518 634386 ODIN Fonder ODIN Finland NOK 2005-01-03 1,0958 1,0942 2469,61 2469,61 2706,198638 2702,247262 634386 ODIN Fonder ODIN Finland NOK 2005-01-04 1,0963 1,0947 2484,16 2484,16 2723,384608 2719,409952 634386 ODIN Fonder ODIN Finland NOK 2005-01-05 1,0923 1,0907 2478,41 2478,41 2707,167243 2703,201787 634386 ODIN Fonder ODIN Finland NOK 2005-01-07 1,0978 1,0962 2475,65 2475,65 2717,76857 2713,80753 634386 ODIN Fonder ODIN Finland NOK 2005-01-10 1,1082 1,1066 2485,7 2485,7 2754,65274 2750,67562 634386 ODIN Fonder ODIN Finland NOK 2005-01-11 1,1082 1,1066 2474,67 2474,67 2742,429294 2738,469822 634386 ODIN Fonder ODIN Finland NOK 2005-01-12 1,1038 1,1022 2466,04 2466,04 2722,014952 2718,069288 634386 ODIN Fonder ODIN Finland NOK 2005-01-13 1,1023 1,1007 2470,02 2470,02 2722,703046 2718,751014 634386 ODIN Fonder ODIN Finland NOK 2005-01-14 1,1073 1,1057 2478,43 2478,43 2744,365539 2740,400051 634386 ODIN Fonder ODIN Finland NOK 2005-01-17 1,1058 1,1042 2494,13 2494,13 2758,008954 2754,018346 634386 ODIN Fonder ODIN Finland NOK 2005-01-18 1,1083 1,1067 2480,97 2480,97 2749,659051 2745,689499 634386 ODIN Fonder ODIN Finland NOK 2005-01-19 1,1083 1,1067 2480,42 2480,42 2749,049486 2745,080814 634386 ODIN Fonder ODIN Finland NOK 2005-01-20 1,1073 1,1057 2469,78 2469,78 2734,787394 2730,835746 634386 ODIN Fonder ODIN Finland NOK 2005-01-21 1,1038 1,1022 2488,68 2488,68 2747,004984 2743,023096 634386 ODIN Fonder ODIN Finland NOK 2005-01-24 1,1053 1,1037 2478,95 2478,95 2739,983435 2736,017115 634386 ODIN Fonder ODIN Finland NOK 2005-01-25 1,1063 1,1047 2475,51 2475,51 2738,656713 2734,695897 634386 ODIN Fonder ODIN Finland NOK 2005-01-26 1,1038 1,1022 2491,64 2491,64 2750,272232 2746,285608 634386 ODIN Fonder ODIN Finland NOK 2005-01-27 1,0988 1,0972 2500,69 2500,69 2747,758172 2743,757068 634386 ODIN Fonder ODIN Finland NOK 2005-01-28 1,1033 1,1017 2496,76 2496,76 2754,675308 2750,680492 634386 ODIN Fonder ODIN Finland NOK 2005-01-31 1,1028 1,1012 2515,26 2515,26 2773,828728 2769,804312 634386 ODIN Fonder ODIN Finland NOK 2005-02-01 1,0983 1,0967 2532,88 2532,88 2781,862104 2777,809496 634386 ODIN Fonder ODIN Finland NOK 2005-02-02 1,0988 1,0972 2558 2558 2810,7304 2806,6376 634386 ODIN Fonder ODIN Finland NOK 2005-02-03 1,0983 1,0967 2585,62 2585,62 2839,786446 2835,649454 634386 ODIN Fonder ODIN Finland NOK 2005-02-04 1,0968 1,0952 2608,73 2608,73 2861,255064 2857,081096 634386 ODIN Fonder ODIN Finland NOK 2005-02-07 1,0938 1,0922 2655,64 2655,64 2904,739032 2900,490008 634386 ODIN Fonder ODIN Finland NOK 2005-02-08 1,0898 1,0882 2667,55 2667,55 2907,09599 2902,82791 634386 ODIN Fonder ODIN Finland NOK 2005-02-09 1,0843 1,0827 2677,63 2677,63 2903,354209 2899,070001 634386 ODIN Fonder ODIN Finland NOK 2005-02-10 1,0848 1,0832 2682,67 2682,67 2910,160416 2905,868144 634386 ODIN Fonder ODIN Finland NOK 2005-02-11 1,0788 1,0772 2692,61 2692,61 2904,787668 2900,479492 634386 ODIN Fonder ODIN Finland NOK 2005-02-14 1,0828 1,0812 2688,29 2688,29 2910,880412 2906,579148 634386 ODIN Fonder ODIN Finland NOK 2005-02-15 1,0833 1,0817 2708,6 2708,6 2934,22638 2929,89262 634386 ODIN Fonder ODIN Finland NOK 2005-02-16 1,0848 1,0832 2707,35 2707,35 2936,93328 2932,60152 634386 ODIN Fonder ODIN Finland NOK 2005-02-17 1,0863 1,0847 2734,06 2734,06 2970,009378 2965,634882 634386 ODIN Fonder ODIN Finland NOK 2005-02-18 1,0943 1,0927 2721,65 2721,65 2978,301595 2973,946955 634386 ODIN Fonder ODIN Finland NOK 2005-02-21 1,0998 1,0982 2737,44 2737,44 3010,636512 3006,256608 634386 ODIN Fonder ODIN Finland NOK 2005-02-22 1,1028 1,1012 2711,04 2711,04 2989,734912 2985,397248 634386 ODIN Fonder ODIN Finland NOK 2005-02-23 1,1023 1,1007 2697,56 2697,56 2973,520388 2969,204292 634386 ODIN Fonder ODIN Finland NOK 2005-02-24 1,1013 1,0997 2709,53 2709,53 2984,005389 2979,670141 634386 ODIN Fonder ODIN Finland NOK 2005-02-25 1,1018 1,1002 2726,65 2726,65 3004,22297 2999,86033 634386 ODIN Fonder ODIN Finland NOK 2005-02-28 1,0968 1,0952 2723,62 2723,62 2987,266416 2982,908624 634386 ODIN Fonder ODIN Finland NOK 2005-03-01 1,1013 1,0997 2717,97 2717,97 2993,300361 2988,951609 634386 ODIN Fonder ODIN Finland NOK 2005-03-02 1,1068 1,1052 2737,33 2737,33 3029,676844 3025,297116 634386 ODIN Fonder ODIN Finland NOK 2005-03-03 1,1058 1,1042 2753,54 2753,54 3044,864532 3040,458868 634386 ODIN Fonder ODIN Finland NOK 2005-03-04 1,1013 1,0997 2771,12 2771,12 3051,834456 3047,400664 634386 ODIN Fonder ODIN Finland NOK 2005-03-07 1,1003 1,0987 2793,84 2793,84 3074,062152 3069,592008 634386 ODIN Fonder ODIN Finland NOK 2005-03-08 1,1033 1,1017 2770,67 2770,67 3056,880211 3052,447139 634386 ODIN Fonder ODIN Finland NOK 2005-03-09 1,1053 1,1037 2770,51 2770,51 3062,244703 3057,811887 634386 ODIN Fonder ODIN Finland NOK 2005-03-10 1,1053 1,1037 2742,05 2742,05 3030,787865 3026,400585 634386 ODIN Fonder ODIN Finland NOK 2005-03-11 1,1113 1,1097 2751,42 2751,42 3057,653046 3053,250774 634386 ODIN Fonder ODIN Finland NOK 2005-03-14 1,1113 1,1097 2744,87 2744,87 3050,374031 3045,982239 634386 ODIN Fonder ODIN Finland NOK 2005-03-15 1,1138 1,1122 2751,97 2751,97 3065,144186 3060,741034 634386 ODIN Fonder ODIN Finland NOK 2005-03-16 1,1128 1,1112 2741,27 2741,27 3050,485256 3046,099224 634386 ODIN Fonder ODIN Finland NOK 2005-03-17 1,1193 1,1177 2703,9 2703,9 3026,47527 3022,14903 634386 ODIN Fonder ODIN Finland NOK 2005-03-18 1,1193 1,1177 2693,8 2693,8 3015,17034 3010,86026 634386 ODIN Fonder ODIN Finland NOK 2005-03-21 1,1218 1,1202 2694,2 2694,2 3022,35356 3018,04284 634386 ODIN Fonder ODIN Finland NOK 2005-03-22 1,1183 1,1167 2699,13 2699,13 3018,437079 3014,118471 634386 ODIN Fonder ODIN Finland NOK 2005-03-23 1,1158 1,1142 2683,31 2683,31 2994,037298 2989,744002 634386 ODIN Fonder ODIN Finland NOK 2005-03-29 1,1103 1,1087 2696,6 2696,6 2994,03498 2989,72042 634386 ODIN Fonder ODIN Finland NOK 2005-03-30 1,1168 1,1152 2687,59 2687,59 3001,500512 2997,200368 634386 ODIN Fonder ODIN Finland NOK 2005-03-31 1,1163 1,1147 2711,03 2711,03 3026,322789 3021,985141 634386 ODIN Fonder ODIN Finland NOK 2005-04-01 1,1173 1,1157 2707,48 2707,48 3025,067404 3020,735436 634386 ODIN Fonder ODIN Finland NOK 2005-04-04 1,1198 1,1182 2690,54 2690,54 3012,866692 3008,561828 634386 ODIN Fonder ODIN Finland NOK 2005-04-05 1,1223 1,1207 2697,72 2697,72 3027,651156 3023,334804 634386 ODIN Fonder ODIN Finland NOK 2005-04-06 1,1243 1,1227 2713,26 2713,26 3050,518218 3046,177002 634386 ODIN Fonder ODIN Finland NOK 2005-04-07 1,1208 1,1192 2732,59 2732,59 3062,686872 3058,314728 634386 ODIN Fonder ODIN Finland NOK 2005-04-08 1,1208 1,1192 2741,66 2741,66 3072,852528 3068,465872 634386 ODIN Fonder ODIN Finland NOK 2005-04-11 1,1203 1,1187 2737,16 2737,16 3066,440348 3062,060892 634386 ODIN Fonder ODIN Finland NOK 2005-04-12 1,1173 1,1157 2744,36 2744,36 3066,273428 3061,882452 634386 ODIN Fonder ODIN Finland NOK 2005-04-13 1,1183 1,1167 2763,88 2763,88 3090,847004 3086,424796 634386 ODIN Fonder ODIN Finland NOK 2005-04-14 1,1153 1,1137 2777,88 2777,88 3098,169564 3093,724956 634386 ODIN Fonder ODIN Finland NOK 2005-04-15 1,1178 1,1162 2736,92 2736,92 3059,329176 3054,950104 634386 ODIN Fonder ODIN Finland NOK 2005-04-18 1,1148 1,1132 2690,37 2690,37 2999,224476 2994,919884 634386 ODIN Fonder ODIN Finland NOK 2005-04-19 1,1213 1,1197 2704,44 2704,44 3032,488572 3028,161468 634386 ODIN Fonder ODIN Finland NOK 2005-04-20 1,1218 1,1202 2697,21 2697,21 3025,730178 3021,414642 634386 ODIN Fonder ODIN Finland NOK 2005-04-21 1,1253 1,1237 2675,46 2675,46 3010,695138 3006,414402 634386 ODIN Fonder ODIN Finland NOK 2005-04-22 1,1248 1,1232 2684,01 2684,01 3018,974448 3014,680032 634386 ODIN Fonder ODIN Finland NOK 2005-04-25 1,1258 1,1242 2689,87 2689,87 3028,255646 3023,951854 634386 ODIN Fonder ODIN Finland NOK 2005-04-26 1,1243 1,1227 2693,83 2693,83 3028,673069 3024,362941 634386 ODIN Fonder ODIN Finland NOK 2005-04-27 1,1253 1,1237 2661,74 2661,74 2995,256022 2990,997238 634386 ODIN Fonder ODIN Finland NOK 2005-04-28 1,1248 1,1232 2645,39 2645,39 2975,534672 2971,302048 634386 ODIN Fonder ODIN Finland NOK 2005-04-29 1,1268 1,1252 2643,16 2643,16 2978,312688 2974,083632 634386 ODIN Fonder ODIN Finland NOK 2005-05-02 1,1313 1,1297 2655,76 2655,76 3004,461288 3000,212072 634386 ODIN Fonder ODIN Finland NOK 2005-05-03 1,1343 1,1327 2653,38 2653,38 3009,728934 3005,483526 634386 ODIN Fonder ODIN Finland NOK 2005-05-04 1,1323 1,1307 2648,11 2648,11 2998,454953 2994,217977 634386 ODIN Fonder ODIN Finland NOK 2005-05-06 1,1313 1,1297 2659,91 2659,91 3009,156183 3004,900327 634386 ODIN Fonder ODIN Finland NOK 2005-05-09 1,1288 1,1272 2670,85 2670,85 3014,85548 3010,58212 634386 ODIN Fonder ODIN Finland NOK 2005-05-10 1,1328 1,1312 2660,25 2660,25 3013,5312 3009,2748 634386 ODIN Fonder ODIN Finland NOK 2005-05-11 1,1398 1,1382 2649,03 2649,03 3019,364394 3015,125946 634386 ODIN Fonder ODIN Finland NOK 2005-05-12 1,1418 1,1402 2655,8 2655,8 3032,39244 3028,14316 634386 ODIN Fonder ODIN Finland NOK 2005-05-13 1,1373 1,1357 2665,72 2665,72 3031,723356 3027,458204 634386 ODIN Fonder ODIN Finland NOK 2005-05-18 1,1373 1,1357 2713,73 2713,73 3086,325129 3081,983161 634386 ODIN Fonder ODIN Finland NOK 2005-05-19 1,1328 1,1312 2727,67 2727,67 3089,904576 3085,540304 634386 ODIN Fonder ODIN Finland NOK 2005-05-20 1,1338 1,1322 2739,02 2739,02 3105,500876 3101,118444 634386 ODIN Fonder ODIN Finland NOK 2005-05-23 1,1303 1,1287 2743,84 2743,84 3101,362352 3096,972208 634386 ODIN Fonder ODIN Finland NOK 2005-05-24 1,1323 1,1307 2741,1 2741,1 3103,74753 3099,36177 634386 ODIN Fonder ODIN Finland NOK 2005-05-25 1,1353 1,1337 2741,14 2741,14 3112,016242 3107,630418 634386 ODIN Fonder ODIN Finland NOK 2005-05-26 1,1478 1,1462 2714,53 2714,53 3115,737534 3111,394286 634386 ODIN Fonder ODIN Finland NOK 2005-05-27 1,1528 1,1512 2719,46 2719,46 3134,993488 3130,642352 634386 ODIN Fonder ODIN Finland NOK 2005-05-30 1,1538 1,1522 2726,41 2726,41 3145,731858 3141,369602 634386 ODIN Fonder ODIN Finland NOK 2005-05-31 1,1488 1,1472 2737,52 2737,52 3144,862976 3140,482944 634386 ODIN Fonder ODIN Finland NOK 2005-06-01 1,1533 1,1517 2741,35 2741,35 3161,598955 3157,212795 634386 ODIN Fonder ODIN Finland NOK 2005-06-02 1,1563 1,1547 2758,24 2758,24 3189,352912 3184,939728 634386 ODIN Fonder ODIN Finland NOK 2005-06-03 1,1533 1,1517 2744,66 2744,66 3165,416378 3161,024922 634386 ODIN Fonder ODIN Finland NOK 2005-06-07 1,1613 1,1597 2742,68 2742,68 3185,074284 3180,685996 634386 ODIN Fonder ODIN Finland NOK 2005-06-08 1,1593 1,1577 2767,97 2767,97 3208,907621 3204,478869 634386 ODIN Fonder ODIN Finland NOK 2005-06-09 1,1618 1,1602 2778,37 2778,37 3227,910266 3223,464874 634386 ODIN Fonder ODIN Finland NOK 2005-06-10 1,1648 1,1632 2791,68 2791,68 3251,748864 3247,282176 634386 ODIN Fonder ODIN Finland NOK 2005-06-13 1,1778 1,1762 2809,01 2809,01 3308,451978 3303,957562 634386 ODIN Fonder ODIN Finland NOK 2005-06-14 1,1823 1,1807 2809,42 2809,42 3321,577266 3317,082194 634386 ODIN Fonder ODIN Finland NOK 2005-06-15 1,1798 1,1782 2811,47 2811,47 3316,972306 3312,473954 634386 ODIN Fonder ODIN Finland NOK 2005-06-16 1,1773 1,1757 2822,8 2822,8 3323,28244 3318,76596 634386 ODIN Fonder ODIN Finland NOK 2005-06-17 1,1798 1,1782 2840,15 2840,15 3350,80897 3346,26473 634386 ODIN Fonder ODIN Finland NOK 2005-06-20 1,1728 1,1712 2848,35 2848,35 3340,54488 3335,98752 634386 ODIN Fonder ODIN Finland NOK 2005-06-21 1,1803 1,1787 2846,35 2846,35 3359,546905 3354,992745 634386 ODIN Fonder ODIN Finland NOK 2005-06-22 1,1773 1,1757 2859,42 2859,42 3366,395166 3361,820094 634386 ODIN Fonder ODIN Finland NOK 2005-06-23 1,1853 1,1837 2878,73 2878,73 3412,158669 3407,552701 634386 ODIN Fonder ODIN Finland NOK 2005-06-27 1,1838 1,1822 2847,04 2847,04 3370,325952 3365,770688 634386 ODIN Fonder ODIN Finland NOK 2005-06-28 1,1833 1,1817 2856,7 2856,7 3380,33311 3375,76239 634386 ODIN Fonder ODIN Finland NOK 2005-06-29 1,1888 1,1872 2851,91 2851,91 3390,350608 3385,787552 634386 ODIN Fonder ODIN Finland NOK 2005-06-30 1,1933 1,1917 2858,27 2858,27 3410,773591 3406,200359 634386 ODIN Fonder ODIN Finland NOK 2005-07-01 1,1983 1,1967 2852,88 2852,88 3418,606104 3414,041496 634386 ODIN Fonder ODIN Finland NOK 2005-07-04 1,2048 1,2032 2874,85 2874,85 3463,61928 3459,01952 634386 ODIN Fonder ODIN Finland NOK 2005-07-05 1,1983 1,1967 2869,71 2869,71 3438,773493 3434,181957 634386 ODIN Fonder ODIN Finland NOK 2005-07-06 1,1918 1,1902 2881,37 2881,37 3434,016766 3429,406574 634386 ODIN Fonder ODIN Finland NOK 2005-07-07 1,1883 1,1867 2858,42 2858,42 3396,660486 3392,087014 634386 ODIN Fonder ODIN Finland NOK 2005-07-08 1,1943 1,1927 2870,96 2870,96 3428,787528 3424,193992 634386 ODIN Fonder ODIN Finland NOK 2005-07-11 1,1998 1,1982 2907,96 2907,96 3488,970408 3484,317672 634386 ODIN Fonder ODIN Finland NOK 2005-07-12 1,1983 1,1967 2908,53 2908,53 3485,291499 3480,637851 634386 ODIN Fonder ODIN Finland NOK 2005-07-13 1,1908 1,1892 2901,51 2901,51 3455,118108 3450,475692 634386 ODIN Fonder ODIN Finland NOK 2005-07-14 1,1838 1,1822 2918,93 2918,93 3455,429334 3450,759046 634386 ODIN Fonder ODIN Finland NOK 2005-07-15 1,1823 1,1807 2923,25 2923,25 3456,158475 3451,481275 634386 ODIN Fonder ODIN Finland NOK 2005-07-18 1,1808 1,1792 2940,79 2940,79 3472,484832 3467,779568 634386 ODIN Fonder ODIN Finland NOK 2005-07-19 1,1768 1,1752 2962,24 2962,24 3485,964032 3481,224448 634386 ODIN Fonder ODIN Finland NOK 2005-07-20 1,1768 1,1752 2948,42 2948,42 3469,700656 3464,983184 634386 ODIN Fonder ODIN Finland NOK 2005-07-21 1,1863 1,1847 2950,64 2950,64 3500,344232 3495,623208 634386 ODIN Fonder ODIN Finland NOK 2005-07-22 1,1868 1,1852 2956,97 2956,97 3509,331996 3504,600844 634386 ODIN Fonder ODIN Finland NOK 2005-07-25 1,1863 1,1847 2933,97 2933,97 3480,568611 3475,874259 634386 ODIN Fonder ODIN Finland NOK 2005-07-26 1,1913 1,1897 2930,19 2930,19 3490,735347 3486,047043 634386 ODIN Fonder ODIN Finland NOK 2005-07-27 1,1978 1,1962 2974,28 2974,28 3562,592584 3557,833736 634386 ODIN Fonder ODIN Finland NOK 2005-07-28 1,1928 1,1912 3005,44 3005,44 3584,888832 3580,080128 634386 ODIN Fonder ODIN Finland NOK 2005-07-29 1,1883 1,1867 3003,64 3003,64 3569,225412 3564,419588 634386 ODIN Fonder ODIN Finland NOK 2005-08-01 1,1963 1,1947 2987,12 2987,12 3573,491656 3568,712264 634386 ODIN Fonder ODIN Finland NOK 2005-08-02 1,1983 1,1967 2997,48 2997,48 3591,880284 3587,084316 634386 ODIN Fonder ODIN Finland NOK 2005-08-03 1,1933 1,1917 3005,11 3005,11 3585,997763 3581,189587 634386 ODIN Fonder ODIN Finland NOK 2005-08-04 1,1933 1,1917 3020,78 3020,78 3604,696774 3599,863526 634386 ODIN Fonder ODIN Finland NOK 2005-08-05 1,1873 1,1857 3002,8 3002,8 3565,22444 3560,41996 634386 ODIN Fonder ODIN Finland NOK 2005-08-08 1,1783 1,1767 3025,8 3025,8 3565,30014 3560,45886 634386 ODIN Fonder ODIN Finland NOK 2005-08-09 1,1818 1,1802 3012,83 3012,83 3560,562494 3555,741966 634386 ODIN Fonder ODIN Finland NOK 2005-08-10 1,1843 1,1827 3004,75 3004,75 3558,525425 3553,717825 634386 ODIN Fonder ODIN Finland NOK 2005-08-11 1,1828 1,1812 2988,71 2988,71 3535,046188 3530,264252 634386 ODIN Fonder ODIN Finland NOK 2005-08-12 1,1793 1,1777 2993,11 2993,11 3529,774623 3524,985647 634386 ODIN Fonder ODIN Finland NOK 2005-08-15 1,1768 1,1752 3037,5 3037,5 3574,53 3569,67 634386 ODIN Fonder ODIN Finland NOK 2005-08-16 1,1653 1,1637 3029,98 3029,98 3530,835694 3525,987726 634386 ODIN Fonder ODIN Finland NOK 2005-08-17 1,1773 1,1757 2995,22 2995,22 3526,272506 3521,480154 634386 ODIN Fonder ODIN Finland NOK 2005-08-18 1,1773 1,1757 3011,2 3011,2 3545,08576 3540,26784 634386 ODIN Fonder ODIN Finland NOK 2005-08-19 1,1748 1,1732 3034,55 3034,55 3564,98934 3560,13406 634386 ODIN Fonder ODIN Finland NOK 2005-08-22 1,1728 1,1712 3053,76 3053,76 3581,449728 3576,563712 634386 ODIN Fonder ODIN Finland NOK 2005-08-23 1,1708 1,1692 3069,97 3069,97 3594,320876 3589,408924 634386 ODIN Fonder ODIN Finland NOK 2005-08-24 1,1743 1,1727 3039,05 3039,05 3568,756415 3563,893935 634386 ODIN Fonder ODIN Finland NOK 2005-08-25 1,1768 1,1752 3005,57 3005,57 3536,954776 3532,145864 634386 ODIN Fonder ODIN Finland NOK 2005-08-26 1,1773 1,1757 2993,85 2993,85 3524,659605 3519,869445 634386 ODIN Fonder ODIN Finland NOK 2005-08-29 1,1798 1,1782 2959,09 2959,09 3491,134382 3486,399838 634386 ODIN Fonder ODIN Finland NOK 2005-08-30 1,1793 1,1777 3005,46 3005,46 3544,338978 3539,530242 634386 ODIN Fonder ODIN Finland NOK 2005-08-31 1,1848 1,1832 3007,49 3007,49 3563,274152 3558,462168 634386 ODIN Fonder ODIN Finland NOK 2005-09-01 1,1888 1,1872 3020,03 3020,03 3590,211664 3585,379616 634386 ODIN Fonder ODIN Finland NOK 2005-09-02 1,1948 1,1932 3017,68 3017,68 3605,524064 3600,695776 634386 ODIN Fonder ODIN Finland NOK 2005-09-05 1,1903 1,1887 3039,86 3039,86 3618,345358 3613,481582 634386 ODIN Fonder ODIN Finland NOK 2005-09-06 1,1898 1,1882 3055,42 3055,42 3635,338716 3630,450044 634386 ODIN Fonder ODIN Finland NOK 2005-09-07 1,1938 1,1922 3079,55 3079,55 3676,36679 3671,43951 634386 ODIN Fonder ODIN Finland NOK 2005-09-08 1,1988 1,1972 3094,74 3094,74 3709,974312 3705,022728 634386 ODIN Fonder ODIN Finland NOK 2005-09-09 1,2008 1,1992 3098,87 3098,87 3721,123096 3716,164904 634386 ODIN Fonder ODIN Finland NOK 2005-09-12 1,1953 1,1937 3107,02 3107,02 3713,821006 3708,849774 634386 ODIN Fonder ODIN Finland NOK 2005-09-13 1,1938 1,1922 3123,96 3123,96 3729,383448 3724,385112 634386 ODIN Fonder ODIN Finland NOK 2005-09-14 1,1953 1,1937 3128,28 3128,28 3739,233084 3734,227836 634386 ODIN Fonder ODIN Finland NOK 2005-09-15 1,2003 1,1987 3132,74 3132,74 3760,227822 3755,215438 634386 ODIN Fonder ODIN Finland NOK 2005-09-16 1,2008 1,1992 3140,88 3140,88 3771,568704 3766,543296 634386 ODIN Fonder ODIN Finland NOK 2005-09-19 1,1973 1,1957 3169,36 3169,36 3794,674728 3789,603752 634386 ODIN Fonder ODIN Finland NOK 2005-09-20 1,2018 1,2002 3170,68 3170,68 3810,523224 3805,450136 634386 ODIN Fonder ODIN Finland NOK 2005-09-21 1,1988 1,1972 3163,51 3163,51 3792,415788 3787,354172 634386 ODIN Fonder ODIN Finland NOK 2005-09-22 1,2018 1,2002 3156,36 3156,36 3793,313448 3788,263272 634386 ODIN Fonder ODIN Finland NOK 2005-09-23 1,2043 1,2027 3168,72 3168,72 3816,089496 3811,019544 634386 ODIN Fonder ODIN Finland NOK 2005-09-26 1,1993 1,1977 3190,62 3190,62 3826,510566 3821,405574 634386 ODIN Fonder ODIN Finland NOK 2005-09-27 1,2003 1,1987 3188,54 3188,54 3827,204562 3822,102898 634386 ODIN Fonder ODIN Finland NOK 2005-09-28 1,2013 1,1997 3177,17 3177,17 3816,734321 3811,650849 634386 ODIN Fonder ODIN Finland NOK 2005-09-29 1,2023 1,2007 3194,99 3194,99 3841,336477 3836,224493 634386 ODIN Fonder ODIN Finland NOK 2005-09-30 1,1918 1,1902 3237,43 3237,43 3858,369074 3853,189186 634386 ODIN Fonder ODIN Finland NOK 2005-10-03 1,1798 1,1782 3238,81 3238,81 3821,148038 3815,965942 634386 ODIN Fonder ODIN Finland NOK 2005-10-04 1,1838 1,1822 3261,97 3261,97 3861,520086 3856,300934 634386 ODIN Fonder ODIN Finland NOK 2005-10-05 1,1788 1,1772 3251,05 3251,05 3832,33774 3827,13606 634386 ODIN Fonder ODIN Finland NOK 2005-10-06 1,1798 1,1782 3190,23 3190,23 3763,833354 3758,728986 634386 ODIN Fonder ODIN Finland NOK 2005-10-07 1,1828 1,1812 3205,88 3205,88 3791,914864 3786,785456 634386 ODIN Fonder ODIN Finland NOK 2005-10-10 1,1808 1,1792 3191,24 3191,24 3768,216192 3763,110208 634386 ODIN Fonder ODIN Finland NOK 2005-10-11 1,1898 1,1882 3164,03 3164,03 3764,562894 3759,500446 634386 ODIN Fonder ODIN Finland NOK 2005-10-12 1,1918 1,1902 3116,22 3116,22 3713,910996 3708,925044 634386 ODIN Fonder ODIN Finland NOK 2005-10-13 1,2023 1,2007 3064,5 3064,5 3684,44835 3679,54515 634386 ODIN Fonder ODIN Finland NOK 2005-10-14 1,2028 1,2012 3034,52 3034,52 3649,920656 3645,065424 634386 ODIN Fonder ODIN Finland NOK 2005-10-17 1,2118 1,2102 3036,82 3036,82 3680,018476 3675,159564 634386 ODIN Fonder ODIN Finland NOK 2005-10-18 1,2118 1,2102 3050,54 3050,54 3696,644372 3691,763508 634386 ODIN Fonder ODIN Finland NOK 2005-10-19 1,2103 1,2087 2956,22 2956,22 3577,913066 3573,183114 634386 ODIN Fonder ODIN Finland NOK 2005-10-20 1,2173 1,2157 2977,12 2977,12 3624,048176 3619,284784 634386 ODIN Fonder ODIN Finland NOK 2005-10-21 1,2183 1,2167 2902,78 2902,78 3536,456874 3531,812426 634386 ODIN Fonder ODIN Finland NOK 2005-10-24 1,2243 1,2227 2951,66 2951,66 3613,717338 3608,994682 634386 ODIN Fonder ODIN Finland NOK 2005-10-25 1,2203 1,2187 2987,7 2987,7 3645,89031 3641,10999 634386 ODIN Fonder ODIN Finland NOK 2005-10-26 1,2148 1,2132 2993,4 2993,4 3636,38232 3631,59288 634386 ODIN Fonder ODIN Finland NOK 2005-10-27 1,2228 1,2212 2994,61 2994,61 3661,809108 3657,017732 634386 ODIN Fonder ODIN Finland NOK 2005-10-28 1,2188 1,2172 2973,33 2973,33 3623,894604 3619,137276 634386 ODIN Fonder ODIN Finland NOK 2005-10-31 1,2233 1,2217 3013,01 3013,01 3685,815133 3680,994317 634386 ODIN Fonder ODIN Finland NOK 2005-11-01 1,2273 1,2257 3035,12 3035,12 3725,002776 3720,146584 634386 ODIN Fonder ODIN Finland NOK 2005-11-02 1,2338 1,2322 3056,24 3056,24 3770,788912 3765,898928 634386 ODIN Fonder ODIN Finland NOK 2005-11-03 1,2398 1,2382 3059,09 3059,09 3792,659782 3787,765238 634386 ODIN Fonder ODIN Finland NOK 2005-11-04 1,2308 1,2292 3082,97 3082,97 3794,519476 3789,586724 634386 ODIN Fonder ODIN Finland NOK 2005-11-07 1,2348 1,2332 3061,82 3061,82 3780,735336 3775,836424 634386 ODIN Fonder ODIN Finland NOK 2005-11-08 1,2298 1,2282 3068,65 3068,65 3773,82577 3768,91593 634386 ODIN Fonder ODIN Finland NOK 2005-11-09 1,2278 1,2262 3049,7 3049,7 3744,42166 3739,54214 634386 ODIN Fonder ODIN Finland NOK 2005-11-10 1,2428 1,2412 3056,5 3056,5 3798,6182 3793,7278 634386 ODIN Fonder ODIN Finland NOK 2005-11-11 1,2453 1,2437 3065,7 3065,7 3817,71621 3812,81109 634386 ODIN Fonder ODIN Finland NOK 2005-11-14 1,2323 1,2307 3094,91 3094,91 3813,857593 3808,905737 634386 ODIN Fonder ODIN Finland NOK 2005-11-15 1,2293 1,2277 3069,87 3069,87 3773,791191 3768,879399 634386 ODIN Fonder ODIN Finland NOK 2005-11-16 1,2298 1,2282 3061,44 3061,44 3764,958912 3760,060608 634386 ODIN Fonder ODIN Finland NOK 2005-11-17 1,2318 1,2302 3095,83 3095,83 3813,443394 3808,490066 634386 ODIN Fonder ODIN Finland NOK 2005-11-18 1,2233 1,2217 3109,1 3109,1 3803,36203 3798,38747 634386 ODIN Fonder ODIN Finland NOK 2005-11-21 1,2168 1,2152 3124,82 3124,82 3802,280976 3797,281264 634386 ODIN Fonder ODIN Finland NOK 2005-11-22 1,2143 1,2127 3102,18 3102,18 3766,977174 3762,013686 634386 ODIN Fonder ODIN Finland NOK 2005-11-23 1,2093 1,2077 3120,56 3120,56 3773,693208 3768,700312 634386 ODIN Fonder ODIN Finland NOK 2005-11-24 1,2083 1,2067 3136,33 3136,33 3789,627539 3784,609411 634386 ODIN Fonder ODIN Finland NOK 2005-11-25 1,2028 1,2012 3151,44 3151,44 3790,552032 3785,509728 634386 ODIN Fonder ODIN Finland NOK 2005-11-28 1,2068 1,2052 3155,37 3155,37 3807,900516 3802,851924 634386 ODIN Fonder ODIN Finland NOK 2005-11-29 1,1968 1,1952 3157,66 3157,66 3779,087488 3774,035232 634386 ODIN Fonder ODIN Finland NOK 2005-11-30 1,1983 1,1967 3179,62 3179,62 3810,138646 3805,051254 634386 ODIN Fonder ODIN Finland NOK 2005-12-01 1,1963 1,1947 3198,37 3198,37 3826,210031 3821,092639 634386 ODIN Fonder ODIN Finland NOK 2005-12-02 1,1993 1,1977 3220,74 3220,74 3862,633482 3857,480298 634386 ODIN Fonder ODIN Finland NOK 2005-12-05 1,1908 1,1892 3224,21 3224,21 3839,389268 3834,230532 634386 ODIN Fonder ODIN Finland NOK 2005-12-07 1,1833 1,1817 3287,71 3287,71 3890,347243 3885,086907 634386 ODIN Fonder ODIN Finland NOK 2005-12-08 1,1848 1,1832 3261,82 3261,82 3864,604336 3859,385424 634386 ODIN Fonder ODIN Finland NOK 2005-12-12 1,1888 1,1872 3290,74 3290,74 3912,031712 3906,766528 634386 ODIN Fonder ODIN Finland NOK 2005-12-13 1,1853 1,1837 3288,41 3288,41 3897,752373 3892,490917 634386 ODIN Fonder ODIN Finland NOK 2005-12-14 1,1888 1,1872 3291,36 3291,36 3912,768768 3907,502592 634386 ODIN Fonder ODIN Finland NOK 2005-12-15 1,1868 1,1852 3297,31 3297,31 3913,247508 3907,971812 634386 ODIN Fonder ODIN Finland NOK 2005-12-16 1,1943 1,1927 3333,9 3333,9 3981,67677 3976,34253 634386 ODIN Fonder ODIN Finland NOK 2005-12-19 1,1818 1,1802 3345,71 3345,71 3953,960078 3948,606942 634386 ODIN Fonder ODIN Finland NOK 2005-12-20 1,1728 1,1712 3351,67 3351,67 3930,838576 3925,475904 634386 ODIN Fonder ODIN Finland NOK 2005-12-21 1,1728 1,1712 3364,56 3364,56 3945,955968 3940,572672 634386 ODIN Fonder ODIN Finland NOK 2005-12-22 1,1778 1,1762 3359,84 3359,84 3957,219552 3951,843808 634386 ODIN Fonder ODIN Finland NOK 2005-12-23 1,1738 1,1722 3373,15 3373,15 3959,40347 3954,00643 634386 ODIN Fonder ODIN Finland NOK 2005-12-27 1,1833 1,1817 3378,19 3378,19 3997,412227 3992,007123 634386 ODIN Fonder ODIN Finland NOK 2005-12-28 1,1763 1,1747 3386,79 3386,79 3983,881077 3978,462213 634386 ODIN Fonder ODIN Finland NOK 2005-12-29 1,1718 1,1702 3383,58 3383,58 3964,879044 3959,465316 634386 ODIN Fonder ODIN Finland NOK 2005-12-30 1,1768 1,1752 3361,28 3361,28 3955,554304 3950,176256 598557 ODIN Fonder ODIN Norden NOK 2005-01-03 1,0958 1,0942 837,63 837,63 917,874954 916,534746 598557 ODIN Fonder ODIN Norden NOK 2005-01-04 1,0963 1,0947 834,11 834,11 914,434793 913,100217 598557 ODIN Fonder ODIN Norden NOK 2005-01-05 1,0923 1,0907 827,33 827,33 903,692559 902,368831 598557 ODIN Fonder ODIN Norden NOK 2005-01-07 1,0978 1,0962 828,28 828,28 909,285784 907,960536 598557 ODIN Fonder ODIN Norden NOK 2005-01-10 1,1082 1,1066 832,19 832,19 922,232958 920,901454 598557 ODIN Fonder ODIN Norden NOK 2005-01-11 1,1082 1,1066 831,86 831,86 921,867252 920,536276 598557 ODIN Fonder ODIN Norden NOK 2005-01-12 1,1038 1,1022 828,41 828,41 914,398958 913,073502 598557 ODIN Fonder ODIN Norden NOK 2005-01-13 1,1023 1,1007 831,37 831,37 916,419151 915,088959 598557 ODIN Fonder ODIN Norden NOK 2005-01-14 1,1073 1,1057 838,11 838,11 928,039203 926,698227 598557 ODIN Fonder ODIN Norden NOK 2005-01-17 1,1058 1,1042 850,18 850,18 940,129044 938,768756 598557 ODIN Fonder ODIN Norden NOK 2005-01-18 1,1083 1,1067 850,84 850,84 942,985972 941,624628 598557 ODIN Fonder ODIN Norden NOK 2005-01-19 1,1083 1,1067 854,89 854,89 947,474587 946,106763 598557 ODIN Fonder ODIN Norden NOK 2005-01-20 1,1073 1,1057 849,08 849,08 940,186284 938,827756 598557 ODIN Fonder ODIN Norden NOK 2005-01-21 1,1038 1,1022 852,38 852,38 940,857044 939,493236 598557 ODIN Fonder ODIN Norden NOK 2005-01-24 1,1053 1,1037 855,83 855,83 945,948899 944,579571 598557 ODIN Fonder ODIN Norden NOK 2005-01-25 1,1063 1,1047 861,73 861,73 953,331899 951,953131 598557 ODIN Fonder ODIN Norden NOK 2005-01-26 1,1038 1,1022 865,16 865,16 954,963608 953,579352 598557 ODIN Fonder ODIN Norden NOK 2005-01-27 1,0988 1,0972 867,63 867,63 953,351844 951,963636 598557 ODIN Fonder ODIN Norden NOK 2005-01-28 1,1033 1,1017 867,24 867,24 956,825892 955,438308 598557 ODIN Fonder ODIN Norden NOK 2005-01-31 1,1028 1,1012 867,95 867,95 957,17526 955,78654 598557 ODIN Fonder ODIN Norden NOK 2005-02-01 1,0983 1,0967 880,66 880,66 967,228878 965,819822 598557 ODIN Fonder ODIN Norden NOK 2005-02-02 1,0988 1,0972 888,59 888,59 976,382692 974,960948 598557 ODIN Fonder ODIN Norden NOK 2005-02-03 1,0983 1,0967 895,86 895,86 983,923038 982,489662 598557 ODIN Fonder ODIN Norden NOK 2005-02-04 1,0968 1,0952 900,58 900,58 987,756144 986,315216 598557 ODIN Fonder ODIN Norden NOK 2005-02-07 1,0938 1,0922 912,44 912,44 998,026872 996,566968 598557 ODIN Fonder ODIN Norden NOK 2005-02-08 1,0898 1,0882 909,17 909,17 990,813466 989,358794 598557 ODIN Fonder ODIN Norden NOK 2005-02-09 1,0843 1,0827 907,48 907,48 983,980564 982,528596 598557 ODIN Fonder ODIN Norden NOK 2005-02-10 1,0848 1,0832 909,37 909,37 986,484576 985,029584 598557 ODIN Fonder ODIN Norden NOK 2005-02-11 1,0788 1,0772 917,8 917,8 990,12264 988,65416 598557 ODIN Fonder ODIN Norden NOK 2005-02-14 1,0828 1,0812 917,48 917,48 993,447344 991,979376 598557 ODIN Fonder ODIN Norden NOK 2005-02-15 1,0833 1,0817 924,91 924,91 1001,955003 1000,475147 598557 ODIN Fonder ODIN Norden NOK 2005-02-16 1,0848 1,0832 920,05 920,05 998,07024 996,59816 598557 ODIN Fonder ODIN Norden NOK 2005-02-17 1,0863 1,0847 928,56 928,56 1008,694728 1007,209032 598557 ODIN Fonder ODIN Norden NOK 2005-02-18 1,0943 1,0927 924,21 924,21 1011,363003 1009,884267 598557 ODIN Fonder ODIN Norden NOK 2005-02-21 1,0998 1,0982 925,94 925,94 1018,348812 1016,867308 598557 ODIN Fonder ODIN Norden NOK 2005-02-22 1,1028 1,1012 922,09 922,09 1016,880852 1015,405508 598557 ODIN Fonder ODIN Norden NOK 2005-02-23 1,1023 1,1007 922,63 922,63 1017,015049 1015,538841 598557 ODIN Fonder ODIN Norden NOK 2005-02-24 1,1013 1,0997 932,82 932,82 1027,314666 1025,822154 598557 ODIN Fonder ODIN Norden NOK 2005-02-25 1,1018 1,1002 938,41 938,41 1033,940138 1032,438682 598557 ODIN Fonder ODIN Norden NOK 2005-02-28 1,0968 1,0952 939,13 939,13 1030,037784 1028,535176 598557 ODIN Fonder ODIN Norden NOK 2005-03-01 1,1013 1,0997 936,85 936,85 1031,752905 1030,253945 598557 ODIN Fonder ODIN Norden NOK 2005-03-02 1,1068 1,1052 937,3 937,3 1037,40364 1035,90396 598557 ODIN Fonder ODIN Norden NOK 2005-03-03 1,1058 1,1042 944,98 944,98 1044,958884 1043,446916 598557 ODIN Fonder ODIN Norden NOK 2005-03-04 1,1013 1,0997 955,71 955,71 1052,523423 1050,994287 598557 ODIN Fonder ODIN Norden NOK 2005-03-07 1,1003 1,0987 963,67 963,67 1060,326101 1058,784229 598557 ODIN Fonder ODIN Norden NOK 2005-03-08 1,1033 1,1017 956,79 956,79 1055,626407 1054,095543 598557 ODIN Fonder ODIN Norden NOK 2005-03-09 1,1053 1,1037 953,67 953,67 1054,091451 1052,565579 598557 ODIN Fonder ODIN Norden NOK 2005-03-10 1,1053 1,1037 939,77 939,77 1038,727781 1037,224149 598557 ODIN Fonder ODIN Norden NOK 2005-03-11 1,1113 1,1097 938,74 938,74 1043,221762 1041,719778 598557 ODIN Fonder ODIN Norden NOK 2005-03-14 1,1113 1,1097 937,03 937,03 1041,321439 1039,822191 598557 ODIN Fonder ODIN Norden NOK 2005-03-15 1,1138 1,1122 940,5 940,5 1047,5289 1046,0241 598557 ODIN Fonder ODIN Norden NOK 2005-03-16 1,1128 1,1112 932,68 932,68 1037,886304 1036,394016 598557 ODIN Fonder ODIN Norden NOK 2005-03-17 1,1193 1,1177 928,74 928,74 1039,538682 1038,052698 598557 ODIN Fonder ODIN Norden NOK 2005-03-18 1,1193 1,1177 932,32 932,32 1043,545776 1042,054064 598557 ODIN Fonder ODIN Norden NOK 2005-03-21 1,1218 1,1202 935,87 935,87 1049,858966 1048,361574 598557 ODIN Fonder ODIN Norden NOK 2005-03-22 1,1183 1,1167 934,81 934,81 1045,398023 1043,902327 598557 ODIN Fonder ODIN Norden NOK 2005-03-23 1,1158 1,1142 929,21 929,21 1036,812518 1035,325782 598557 ODIN Fonder ODIN Norden NOK 2005-03-29 1,1103 1,1087 927,2 927,2 1029,47016 1027,98664 598557 ODIN Fonder ODIN Norden NOK 2005-03-30 1,1168 1,1152 918,56 918,56 1025,847808 1024,378112 598557 ODIN Fonder ODIN Norden NOK 2005-03-31 1,1163 1,1147 927,56 927,56 1035,435228 1033,951132 598557 ODIN Fonder ODIN Norden NOK 2005-04-01 1,1173 1,1157 935,77 935,77 1045,535821 1044,038589 598557 ODIN Fonder ODIN Norden NOK 2005-04-04 1,1198 1,1182 938,53 938,53 1050,965894 1049,464246 598557 ODIN Fonder ODIN Norden NOK 2005-04-05 1,1223 1,1207 936,15 936,15 1050,641145 1049,143305 598557 ODIN Fonder ODIN Norden NOK 2005-04-06 1,1243 1,1227 944,4 944,4 1061,78892 1060,27788 598557 ODIN Fonder ODIN Norden NOK 2005-04-07 1,1208 1,1192 955,82 955,82 1071,283056 1069,753744 598557 ODIN Fonder ODIN Norden NOK 2005-04-08 1,1208 1,1192 962,86 962,86 1079,173488 1077,632912 598557 ODIN Fonder ODIN Norden NOK 2005-04-11 1,1203 1,1187 957,73 957,73 1072,944919 1071,412551 598557 ODIN Fonder ODIN Norden NOK 2005-04-12 1,1173 1,1157 961,25 961,25 1074,004625 1072,466625 598557 ODIN Fonder ODIN Norden NOK 2005-04-13 1,1183 1,1167 965,05 965,05 1079,215415 1077,671335 598557 ODIN Fonder ODIN Norden NOK 2005-04-14 1,1153 1,1137 961,18 961,18 1072,004054 1070,466166 598557 ODIN Fonder ODIN Norden NOK 2005-04-15 1,1178 1,1162 938,69 938,69 1049,267682 1047,765778 598557 ODIN Fonder ODIN Norden NOK 2005-04-18 1,1148 1,1132 909,92 909,92 1014,378816 1012,922944 598557 ODIN Fonder ODIN Norden NOK 2005-04-19 1,1213 1,1197 915,22 915,22 1026,236186 1024,771834 598557 ODIN Fonder ODIN Norden NOK 2005-04-20 1,1218 1,1202 918,42 918,42 1030,283556 1028,814084 598557 ODIN Fonder ODIN Norden NOK 2005-04-21 1,1253 1,1237 909,14 909,14 1023,055242 1021,600618 598557 ODIN Fonder ODIN Norden NOK 2005-04-22 1,1248 1,1232 914,53 914,53 1028,663344 1027,200096 598557 ODIN Fonder ODIN Norden NOK 2005-04-25 1,1258 1,1242 915,79 915,79 1030,996382 1029,531118 598557 ODIN Fonder ODIN Norden NOK 2005-04-26 1,1243 1,1227 911,97 911,97 1025,327871 1023,868719 598557 ODIN Fonder ODIN Norden NOK 2005-04-27 1,1253 1,1237 892,81 892,81 1004,679093 1003,250597 598557 ODIN Fonder ODIN Norden NOK 2005-04-28 1,1248 1,1232 872,56 872,56 981,455488 980,059392 598557 ODIN Fonder ODIN Norden NOK 2005-04-29 1,1268 1,1252 868,99 868,99 979,177932 977,787548 598557 ODIN Fonder ODIN Norden NOK 2005-05-02 1,1313 1,1297 873,96 873,96 988,710948 987,312612 598557 ODIN Fonder ODIN Norden NOK 2005-05-03 1,1343 1,1327 876,42 876,42 994,123206 992,720934 598557 ODIN Fonder ODIN Norden NOK 2005-05-04 1,1323 1,1307 867,68 867,68 982,474064 981,085776 598557 ODIN Fonder ODIN Norden NOK 2005-05-06 1,1313 1,1297 882,64 882,64 998,530632 997,118408 598557 ODIN Fonder ODIN Norden NOK 2005-05-09 1,1288 1,1272 892,15 892,15 1007,05892 1005,63148 598557 ODIN Fonder ODIN Norden NOK 2005-05-10 1,1328 1,1312 892,68 892,68 1011,227904 1009,799616 598557 ODIN Fonder ODIN Norden NOK 2005-05-11 1,1398 1,1382 891,93 891,93 1016,621814 1015,194726 598557 ODIN Fonder ODIN Norden NOK 2005-05-12 1,1418 1,1402 891,6 891,6 1018,02888 1016,60232 598557 ODIN Fonder ODIN Norden NOK 2005-05-13 1,1373 1,1357 883,57 883,57 1004,884161 1003,470449 598557 ODIN Fonder ODIN Norden NOK 2005-05-18 1,1373 1,1357 890,01 890,01 1012,208373 1010,784357 598557 ODIN Fonder ODIN Norden NOK 2005-05-19 1,1328 1,1312 894,89 894,89 1013,731392 1012,299568 598557 ODIN Fonder ODIN Norden NOK 2005-05-20 1,1338 1,1322 897,01 897,01 1017,029938 1015,594722 598557 ODIN Fonder ODIN Norden NOK 2005-05-23 1,1303 1,1287 894,32 894,32 1010,849896 1009,418984 598557 ODIN Fonder ODIN Norden NOK 2005-05-24 1,1323 1,1307 896,36 896,36 1014,948428 1013,514252 598557 ODIN Fonder ODIN Norden NOK 2005-05-25 1,1353 1,1337 901,1 901,1 1023,01883 1021,57707 598557 ODIN Fonder ODIN Norden NOK 2005-05-26 1,1478 1,1462 907,09 907,09 1041,157902 1039,706558 598557 ODIN Fonder ODIN Norden NOK 2005-05-27 1,1528 1,1512 911,92 911,92 1051,261376 1049,802304 598557 ODIN Fonder ODIN Norden NOK 2005-05-30 1,1538 1,1522 913,01 913,01 1053,430938 1051,970122 598557 ODIN Fonder ODIN Norden NOK 2005-05-31 1,1488 1,1472 914,38 914,38 1050,439744 1048,976736 598557 ODIN Fonder ODIN Norden NOK 2005-06-01 1,1533 1,1517 919,12 919,12 1060,021096 1058,550504 598557 ODIN Fonder ODIN Norden NOK 2005-06-02 1,1563 1,1547 922,22 922,22 1066,362986 1064,887434 598557 ODIN Fonder ODIN Norden NOK 2005-06-03 1,1533 1,1517 922,19 922,19 1063,561727 1062,086223 598557 ODIN Fonder ODIN Norden NOK 2005-06-07 1,1613 1,1597 931,33 931,33 1081,553529 1080,063401 598557 ODIN Fonder ODIN Norden NOK 2005-06-08 1,1593 1,1577 938,27 938,27 1087,736411 1086,235179 598557 ODIN Fonder ODIN Norden NOK 2005-06-09 1,1618 1,1602 942,56 942,56 1095,066208 1093,558112 598557 ODIN Fonder ODIN Norden NOK 2005-06-10 1,1648 1,1632 948,7 948,7 1105,04576 1103,52784 598557 ODIN Fonder ODIN Norden NOK 2005-06-13 1,1778 1,1762 949,62 949,62 1118,462436 1116,943044 598557 ODIN Fonder ODIN Norden NOK 2005-06-14 1,1823 1,1807 952,42 952,42 1126,046166 1124,522294 598557 ODIN Fonder ODIN Norden NOK 2005-06-15 1,1798 1,1782 953,96 953,96 1125,482008 1123,955672 598557 ODIN Fonder ODIN Norden NOK 2005-06-16 1,1773 1,1757 954,92 954,92 1124,227316 1122,699444 598557 ODIN Fonder ODIN Norden NOK 2005-06-17 1,1798 1,1782 965,67 965,67 1139,297466 1137,752394 598557 ODIN Fonder ODIN Norden NOK 2005-06-20 1,1728 1,1712 972,34 972,34 1140,360352 1138,804608 598557 ODIN Fonder ODIN Norden NOK 2005-06-21 1,1803 1,1787 970,06 970,06 1144,961818 1143,409722 598557 ODIN Fonder ODIN Norden NOK 2005-06-22 1,1773 1,1757 970,1 970,1 1142,09873 1140,54657 598557 ODIN Fonder ODIN Norden NOK 2005-06-23 1,1853 1,1837 976,11 976,11 1156,983183 1155,421407 598557 ODIN Fonder ODIN Norden NOK 2005-06-27 1,1838 1,1822 975,06 975,06 1154,276028 1152,715932 598557 ODIN Fonder ODIN Norden NOK 2005-06-28 1,1833 1,1817 983,03 983,03 1163,219399 1161,646551 598557 ODIN Fonder ODIN Norden NOK 2005-06-29 1,1888 1,1872 980,86 980,86 1166,046368 1164,476992 598557 ODIN Fonder ODIN Norden NOK 2005-06-30 1,1933 1,1917 985,29 985,29 1175,746557 1174,170093 598557 ODIN Fonder ODIN Norden NOK 2005-07-01 1,1983 1,1967 986,87 986,87 1182,566321 1180,987329 598557 ODIN Fonder ODIN Norden NOK 2005-07-04 1,2048 1,2032 993,6 993,6 1197,08928 1195,49952 598557 ODIN Fonder ODIN Norden NOK 2005-07-05 1,1983 1,1967 994,86 994,86 1192,140738 1190,548962 598557 ODIN Fonder ODIN Norden NOK 2005-07-06 1,1918 1,1902 1005,83 1005,83 1198,748194 1197,138866 598557 ODIN Fonder ODIN Norden NOK 2005-07-07 1,1883 1,1867 989,16 989,16 1175,418828 1173,836172 598557 ODIN Fonder ODIN Norden NOK 2005-07-08 1,1943 1,1927 1007,6 1007,6 1203,37668 1201,76452 598557 ODIN Fonder ODIN Norden NOK 2005-07-11 1,1998 1,1982 1017,83 1017,83 1221,192434 1219,563906 598557 ODIN Fonder ODIN Norden NOK 2005-07-12 1,1983 1,1967 1016,71 1016,71 1218,323593 1216,696857 598557 ODIN Fonder ODIN Norden NOK 2005-07-13 1,1908 1,1892 1016,08 1016,08 1209,948064 1208,322336 598557 ODIN Fonder ODIN Norden NOK 2005-07-14 1,1838 1,1822 1023,08 1023,08 1211,122104 1209,485176 598557 ODIN Fonder ODIN Norden NOK 2005-07-15 1,1823 1,1807 1016,79 1016,79 1202,150817 1200,523953 598557 ODIN Fonder ODIN Norden NOK 2005-07-18 1,1808 1,1792 1020,55 1020,55 1205,06544 1203,43256 598557 ODIN Fonder ODIN Norden NOK 2005-07-19 1,1768 1,1752 1021,63 1021,63 1202,254184 1200,619576 598557 ODIN Fonder ODIN Norden NOK 2005-07-20 1,1768 1,1752 1020,57 1020,57 1201,006776 1199,373864 598557 ODIN Fonder ODIN Norden NOK 2005-07-21 1,1863 1,1847 1022,44 1022,44 1212,920572 1211,284668 598557 ODIN Fonder ODIN Norden NOK 2005-07-22 1,1868 1,1852 1027,62 1027,62 1219,579416 1217,935224 598557 ODIN Fonder ODIN Norden NOK 2005-07-25 1,1863 1,1847 1033,85 1033,85 1226,456255 1224,802095 598557 ODIN Fonder ODIN Norden NOK 2005-07-26 1,1913 1,1897 1038,64 1038,64 1237,331832 1235,670008 598557 ODIN Fonder ODIN Norden NOK 2005-07-27 1,1978 1,1962 1047,74 1047,74 1254,982972 1253,306588 598557 ODIN Fonder ODIN Norden NOK 2005-07-28 1,1928 1,1912 1052,25 1052,25 1255,1238 1253,4402 598557 ODIN Fonder ODIN Norden NOK 2005-07-29 1,1883 1,1867 1055,67 1055,67 1254,452661 1252,763589 598557 ODIN Fonder ODIN Norden NOK 2005-08-01 1,1963 1,1947 1057,23 1057,23 1264,764249 1263,072681 598557 ODIN Fonder ODIN Norden NOK 2005-08-02 1,1983 1,1967 1064,02 1064,02 1275,015166 1273,312734 598557 ODIN Fonder ODIN Norden NOK 2005-08-03 1,1933 1,1917 1062,14 1062,14 1267,451662 1265,752238 598557 ODIN Fonder ODIN Norden NOK 2005-08-04 1,1933 1,1917 1068,59 1068,59 1275,148447 1273,438703 598557 ODIN Fonder ODIN Norden NOK 2005-08-05 1,1873 1,1857 1072,49 1072,49 1273,367377 1271,651393 598557 ODIN Fonder ODIN Norden NOK 2005-08-08 1,1783 1,1767 1084,07 1084,07 1277,359681 1275,625169 598557 ODIN Fonder ODIN Norden NOK 2005-08-09 1,1818 1,1802 1086,45 1086,45 1283,96661 1282,22829 598557 ODIN Fonder ODIN Norden NOK 2005-08-10 1,1843 1,1827 1089,16 1089,16 1289,892188 1288,149532 598557 ODIN Fonder ODIN Norden NOK 2005-08-11 1,1828 1,1812 1095,34 1095,34 1295,568152 1293,815608 598557 ODIN Fonder ODIN Norden NOK 2005-08-12 1,1793 1,1777 1101,52 1101,52 1299,022536 1297,260104 598557 ODIN Fonder ODIN Norden NOK 2005-08-15 1,1768 1,1752 1107,49 1107,49 1303,294232 1301,522248 598557 ODIN Fonder ODIN Norden NOK 2005-08-16 1,1653 1,1637 1101,52 1101,52 1283,601256 1281,838824 598557 ODIN Fonder ODIN Norden NOK 2005-08-17 1,1773 1,1757 1093,79 1093,79 1287,718967 1285,968903 598557 ODIN Fonder ODIN Norden NOK 2005-08-18 1,1773 1,1757 1099,69 1099,69 1294,665037 1292,905533 598557 ODIN Fonder ODIN Norden NOK 2005-08-19 1,1748 1,1732 1114,07 1114,07 1308,809436 1307,026924 598557 ODIN Fonder ODIN Norden NOK 2005-08-22 1,1728 1,1712 1120,69 1120,69 1314,345232 1312,552128 598557 ODIN Fonder ODIN Norden NOK 2005-08-23 1,1708 1,1692 1121,54 1121,54 1313,099032 1311,304568 598557 ODIN Fonder ODIN Norden NOK 2005-08-24 1,1743 1,1727 1106,19 1106,19 1298,998917 1297,229013 598557 ODIN Fonder ODIN Norden NOK 2005-08-25 1,1768 1,1752 1102,93 1102,93 1297,928024 1296,163336 598557 ODIN Fonder ODIN Norden NOK 2005-08-26 1,1773 1,1757 1106,33 1106,33 1302,482309 1300,712181 598557 ODIN Fonder ODIN Norden NOK 2005-08-29 1,1798 1,1782 1100,83 1100,83 1298,759234 1296,997906 598557 ODIN Fonder ODIN Norden NOK 2005-08-30 1,1793 1,1777 1115,78 1115,78 1315,839354 1314,054106 598557 ODIN Fonder ODIN Norden NOK 2005-08-31 1,1848 1,1832 1121,71 1121,71 1329,002008 1327,207272 598557 ODIN Fonder ODIN Norden NOK 2005-09-01 1,1888 1,1872 1129,79 1129,79 1343,094352 1341,286688 598557 ODIN Fonder ODIN Norden NOK 2005-09-02 1,1948 1,1932 1124,62 1124,62 1343,695976 1341,896584 598557 ODIN Fonder ODIN Norden NOK 2005-09-05 1,1903 1,1887 1124,61 1124,61 1338,623283 1336,823907 598557 ODIN Fonder ODIN Norden NOK 2005-09-06 1,1898 1,1882 1133,94 1133,94 1349,161812 1347,347508 598557 ODIN Fonder ODIN Norden NOK 2005-09-07 1,1938 1,1922 1129,9 1129,9 1348,87462 1347,06678 598557 ODIN Fonder ODIN Norden NOK 2005-09-08 1,1988 1,1972 1132,38 1132,38 1357,497144 1355,685336 598557 ODIN Fonder ODIN Norden NOK 2005-09-09 1,2008 1,1992 1131,53 1131,53 1358,741224 1356,930776 598557 ODIN Fonder ODIN Norden NOK 2005-09-12 1,1953 1,1937 1137,5 1137,5 1359,65375 1357,83375 598557 ODIN Fonder ODIN Norden NOK 2005-09-13 1,1938 1,1922 1131,65 1131,65 1350,96377 1349,15313 598557 ODIN Fonder ODIN Norden NOK 2005-09-14 1,1953 1,1937 1132,74 1132,74 1353,964122 1352,151738 598557 ODIN Fonder ODIN Norden NOK 2005-09-15 1,2003 1,1987 1140,56 1140,56 1369,014168 1367,189272 598557 ODIN Fonder ODIN Norden NOK 2005-09-16 1,2008 1,1992 1149,59 1149,59 1380,427672 1378,588328 598557 ODIN Fonder ODIN Norden NOK 2005-09-19 1,1973 1,1957 1156,57 1156,57 1384,761261 1382,910749 598557 ODIN Fonder ODIN Norden NOK 2005-09-20 1,2018 1,2002 1153,31 1153,31 1386,047958 1384,202662 598557 ODIN Fonder ODIN Norden NOK 2005-09-21 1,1988 1,1972 1150,1 1150,1 1378,73988 1376,89972 598557 ODIN Fonder ODIN Norden NOK 2005-09-22 1,2018 1,2002 1150,4 1150,4 1382,55072 1380,71008 598557 ODIN Fonder ODIN Norden NOK 2005-09-23 1,2043 1,2027 1147,72 1147,72 1382,199196 1380,362844 598557 ODIN Fonder ODIN Norden NOK 2005-09-26 1,1993 1,1977 1149,55 1149,55 1378,655315 1376,816035 598557 ODIN Fonder ODIN Norden NOK 2005-09-27 1,2003 1,1987 1149,1 1149,1 1379,26473 1377,42617 598557 ODIN Fonder ODIN Norden NOK 2005-09-28 1,2013 1,1997 1151,24 1151,24 1382,984612 1381,142628 598557 ODIN Fonder ODIN Norden NOK 2005-09-29 1,2023 1,2007 1157,8 1157,8 1392,02294 1390,17046 598557 ODIN Fonder ODIN Norden NOK 2005-09-30 1,1918 1,1902 1170,66 1170,66 1395,192588 1393,319532 598557 ODIN Fonder ODIN Norden NOK 2005-10-03 1,1798 1,1782 1174,25 1174,25 1385,38015 1383,50135 598557 ODIN Fonder ODIN Norden NOK 2005-10-04 1,1838 1,1822 1171,62 1171,62 1386,963756 1385,089164 598557 ODIN Fonder ODIN Norden NOK 2005-10-05 1,1788 1,1772 1162,45 1162,45 1370,29606 1368,43614 598557 ODIN Fonder ODIN Norden NOK 2005-10-06 1,1798 1,1782 1124,69 1124,69 1326,909262 1325,109758 598557 ODIN Fonder ODIN Norden NOK 2005-10-07 1,1828 1,1812 1122,43 1122,43 1327,610204 1325,814316 598557 ODIN Fonder ODIN Norden NOK 2005-10-10 1,1808 1,1792 1136,64 1136,64 1342,144512 1340,325888 598557 ODIN Fonder ODIN Norden NOK 2005-10-11 1,1898 1,1882 1131,96 1131,96 1346,806008 1344,994872 598557 ODIN Fonder ODIN Norden NOK 2005-10-12 1,1918 1,1902 1119,24 1119,24 1333,910232 1332,119448 598557 ODIN Fonder ODIN Norden NOK 2005-10-13 1,2023 1,2007 1080,68 1080,68 1299,301564 1297,572476 598557 ODIN Fonder ODIN Norden NOK 2005-10-14 1,2028 1,2012 1070,16 1070,16 1287,188448 1285,476192 598557 ODIN Fonder ODIN Norden NOK 2005-10-17 1,2118 1,2102 1079,88 1079,88 1308,598584 1306,870776 598557 ODIN Fonder ODIN Norden NOK 2005-10-18 1,2118 1,2102 1064,37 1064,37 1289,803566 1288,100574 598557 ODIN Fonder ODIN Norden NOK 2005-10-19 1,2103 1,2087 1022,74 1022,74 1237,822222 1236,185838 598557 ODIN Fonder ODIN Norden NOK 2005-10-20 1,2173 1,2157 1039,29 1039,29 1265,127717 1263,464853 598557 ODIN Fonder ODIN Norden NOK 2005-10-21 1,2183 1,2167 1021,9 1021,9 1244,98077 1243,34573 598557 ODIN Fonder ODIN Norden NOK 2005-10-24 1,2243 1,2227 1048,81 1048,81 1284,058083 1282,379987 598557 ODIN Fonder ODIN Norden NOK 2005-10-25 1,2203 1,2187 1064,29 1064,29 1298,753087 1297,050223 598557 ODIN Fonder ODIN Norden NOK 2005-10-26 1,2148 1,2132 1076,21 1076,21 1307,379908 1305,657972 598557 ODIN Fonder ODIN Norden NOK 2005-10-27 1,2228 1,2212 1063,04 1063,04 1299,885312 1298,184448 598557 ODIN Fonder ODIN Norden NOK 2005-10-28 1,2188 1,2172 1056,84 1056,84 1288,076592 1286,385648 598557 ODIN Fonder ODIN Norden NOK 2005-10-31 1,2233 1,2217 1072,58 1072,58 1312,087114 1310,370986 598557 ODIN Fonder ODIN Norden NOK 2005-11-01 1,2273 1,2257 1079,06 1079,06 1324,330338 1322,603842 598557 ODIN Fonder ODIN Norden NOK 2005-11-02 1,2338 1,2322 1081,81 1081,81 1334,737178 1333,006282 598557 ODIN Fonder ODIN Norden NOK 2005-11-03 1,2398 1,2382 1100,65 1100,65 1364,58587 1362,82483 598557 ODIN Fonder ODIN Norden NOK 2005-11-04 1,2308 1,2292 1106,99 1106,99 1362,483292 1360,712108 598557 ODIN Fonder ODIN Norden NOK 2005-11-07 1,2348 1,2332 1108,16 1108,16 1368,355968 1366,582912 598557 ODIN Fonder ODIN Norden NOK 2005-11-08 1,2298 1,2282 1104,73 1104,73 1358,596954 1356,829386 598557 ODIN Fonder ODIN Norden NOK 2005-11-09 1,2278 1,2262 1102,22 1102,22 1353,305716 1351,542164 598557 ODIN Fonder ODIN Norden NOK 2005-11-10 1,2428 1,2412 1097,79 1097,79 1364,333412 1362,576948 598557 ODIN Fonder ODIN Norden NOK 2005-11-11 1,2453 1,2437 1092,7 1092,7 1360,73931 1358,99099 598557 ODIN Fonder ODIN Norden NOK 2005-11-14 1,2323 1,2307 1099,44 1099,44 1354,839912 1353,080808 598557 ODIN Fonder ODIN Norden NOK 2005-11-15 1,2293 1,2277 1095,19 1095,19 1346,317067 1344,564763 598557 ODIN Fonder ODIN Norden NOK 2005-11-16 1,2298 1,2282 1087,84 1087,84 1337,825632 1336,085088 598557 ODIN Fonder ODIN Norden NOK 2005-11-17 1,2318 1,2302 1101,57 1101,57 1356,913926 1355,151414 598557 ODIN Fonder ODIN Norden NOK 2005-11-18 1,2233 1,2217 1105,48 1105,48 1352,333684 1350,564916 598557 ODIN Fonder ODIN Norden NOK 2005-11-21 1,2168 1,2152 1113,99 1113,99 1355,503032 1353,720648 598557 ODIN Fonder ODIN Norden NOK 2005-11-22 1,2143 1,2127 1121,57 1121,57 1361,922451 1360,127939 598557 ODIN Fonder ODIN Norden NOK 2005-11-23 1,2093 1,2077 1124,59 1124,59 1359,966687 1358,167343 598557 ODIN Fonder ODIN Norden NOK 2005-11-24 1,2083 1,2067 1121,24 1121,24 1354,794292 1353,000308 598557 ODIN Fonder ODIN Norden NOK 2005-11-25 1,2028 1,2012 1131,46 1131,46 1360,920088 1359,109752 598557 ODIN Fonder ODIN Norden NOK 2005-11-28 1,2068 1,2052 1136,62 1136,62 1371,673016 1369,854424 598557 ODIN Fonder ODIN Norden NOK 2005-11-29 1,1968 1,1952 1133,99 1133,99 1357,159232 1355,344848 598557 ODIN Fonder ODIN Norden NOK 2005-11-30 1,1983 1,1967 1140,75 1140,75 1366,960725 1365,135525 598557 ODIN Fonder ODIN Norden NOK 2005-12-01 1,1963 1,1947 1152,53 1152,53 1378,771639 1376,927591 598557 ODIN Fonder ODIN Norden NOK 2005-12-02 1,1993 1,1977 1161,93 1161,93 1393,502649 1391,643561 598557 ODIN Fonder ODIN Norden NOK 2005-12-05 1,1908 1,1892 1166,36 1166,36 1388,901488 1387,035312 598557 ODIN Fonder ODIN Norden NOK 2005-12-07 1,1833 1,1817 1194,16 1194,16 1413,049528 1411,138872 598557 ODIN Fonder ODIN Norden NOK 2005-12-08 1,1848 1,1832 1192,22 1192,22 1412,542256 1410,634704 598557 ODIN Fonder ODIN Norden NOK 2005-12-12 1,1888 1,1872 1199,18 1199,18 1425,585184 1423,666496 598557 ODIN Fonder ODIN Norden NOK 2005-12-13 1,1853 1,1837 1211,06 1211,06 1435,469418 1433,531722 598557 ODIN Fonder ODIN Norden NOK 2005-12-14 1,1888 1,1872 1207,64 1207,64 1435,642432 1433,710208 598557 ODIN Fonder ODIN Norden NOK 2005-12-15 1,1868 1,1852 1213,06 1213,06 1439,659608 1437,718712 598557 ODIN Fonder ODIN Norden NOK 2005-12-16 1,1943 1,1927 1213,06 1213,06 1448,757558 1446,816662 598557 ODIN Fonder ODIN Norden NOK 2005-12-19 1,1818 1,1802 1211,79 1211,79 1432,093422 1430,154558 598557 ODIN Fonder ODIN Norden NOK 2005-12-20 1,1728 1,1712 1214,44 1214,44 1424,295232 1422,352128 598557 ODIN Fonder ODIN Norden NOK 2005-12-21 1,1728 1,1712 1219,5 1219,5 1430,2296 1428,2784 598557 ODIN Fonder ODIN Norden NOK 2005-12-22 1,1778 1,1762 1225,17 1225,17 1443,005226 1441,044954 598557 ODIN Fonder ODIN Norden NOK 2005-12-23 1,1738 1,1722 1227,54 1227,54 1440,886452 1438,922388 598557 ODIN Fonder ODIN Norden NOK 2005-12-27 1,1833 1,1817 1234,24 1234,24 1460,476192 1458,501408 598557 ODIN Fonder ODIN Norden NOK 2005-12-28 1,1763 1,1747 1239,22 1239,22 1457,694486 1455,711734 598557 ODIN Fonder ODIN Norden NOK 2005-12-29 1,1718 1,1702 1244,46 1244,46 1458,258228 1456,267092 598557 ODIN Fonder ODIN Norden NOK 2005-12-30 1,1768 1,1752 1246,76 1246,76 1467,187168 1465,192352 562728 ODIN Fonder ODIN Norge NOK 2005-01-03 1,0958 1,0942 1281,7 1281,7 1404,48686 1402,43614 562728 ODIN Fonder ODIN Norge NOK 2005-01-04 1,0963 1,0947 1272,62 1272,62 1395,173306 1393,137114 562728 ODIN Fonder ODIN Norge NOK 2005-01-05 1,0923 1,0907 1263,73 1263,73 1380,372279 1378,350311 562728 ODIN Fonder ODIN Norge NOK 2005-01-07 1,0978 1,0962 1265,05 1265,05 1388,77189 1386,74781 562728 ODIN Fonder ODIN Norge NOK 2005-01-10 1,1082 1,1066 1271,04 1271,04 1408,566528 1406,532864 562728 ODIN Fonder ODIN Norge NOK 2005-01-11 1,1082 1,1066 1269,07 1269,07 1406,383374 1404,352862 562728 ODIN Fonder ODIN Norge NOK 2005-01-12 1,1038 1,1022 1269,49 1269,49 1401,263062 1399,231878 562728 ODIN Fonder ODIN Norge NOK 2005-01-13 1,1023 1,1007 1278,66 1278,66 1409,466918 1407,421062 562728 ODIN Fonder ODIN Norge NOK 2005-01-14 1,1073 1,1057 1286,71 1286,71 1424,773983 1422,715247 562728 ODIN Fonder ODIN Norge NOK 2005-01-17 1,1058 1,1042 1303,71 1303,71 1441,642518 1439,556582 562728 ODIN Fonder ODIN Norge NOK 2005-01-18 1,1083 1,1067 1305,69 1305,69 1447,096227 1445,007123 562728 ODIN Fonder ODIN Norge NOK 2005-01-19 1,1083 1,1067 1307,41 1307,41 1449,002503 1446,910647 562728 ODIN Fonder ODIN Norge NOK 2005-01-20 1,1073 1,1057 1302,56 1302,56 1442,324688 1440,240592 562728 ODIN Fonder ODIN Norge NOK 2005-01-21 1,1038 1,1022 1304,85 1304,85 1440,29343 1438,20567 562728 ODIN Fonder ODIN Norge NOK 2005-01-24 1,1053 1,1037 1307,4 1307,4 1445,06922 1442,97738 562728 ODIN Fonder ODIN Norge NOK 2005-01-25 1,1063 1,1047 1321,76 1321,76 1462,263088 1460,148272 562728 ODIN Fonder ODIN Norge NOK 2005-01-26 1,1038 1,1022 1330,92 1330,92 1469,069496 1466,940024 562728 ODIN Fonder ODIN Norge NOK 2005-01-27 1,0988 1,0972 1334,03 1334,03 1465,832164 1463,697716 562728 ODIN Fonder ODIN Norge NOK 2005-01-28 1,1033 1,1017 1333,22 1333,22 1470,941626 1468,808474 562728 ODIN Fonder ODIN Norge NOK 2005-01-31 1,1028 1,1012 1320,65 1320,65 1456,41282 1454,29978 562728 ODIN Fonder ODIN Norge NOK 2005-02-01 1,0983 1,0967 1335,54 1335,54 1466,823582 1464,686718 562728 ODIN Fonder ODIN Norge NOK 2005-02-02 1,0988 1,0972 1346,31 1346,31 1479,325428 1477,171332 562728 ODIN Fonder ODIN Norge NOK 2005-02-03 1,0983 1,0967 1364,58 1364,58 1498,718214 1496,534886 562728 ODIN Fonder ODIN Norge NOK 2005-02-04 1,0968 1,0952 1367,64 1367,64 1500,027552 1497,839328 562728 ODIN Fonder ODIN Norge NOK 2005-02-07 1,0938 1,0922 1381,61 1381,61 1511,205018 1508,994442 562728 ODIN Fonder ODIN Norge NOK 2005-02-08 1,0898 1,0882 1364,77 1364,77 1487,326346 1485,142714 562728 ODIN Fonder ODIN Norge NOK 2005-02-09 1,0843 1,0827 1367,79 1367,79 1483,094697 1480,906233 562728 ODIN Fonder ODIN Norge NOK 2005-02-10 1,0848 1,0832 1364,65 1364,65 1480,37232 1478,18888 562728 ODIN Fonder ODIN Norge NOK 2005-02-11 1,0788 1,0772 1380,85 1380,85 1489,66098 1487,45162 562728 ODIN Fonder ODIN Norge NOK 2005-02-14 1,0828 1,0812 1387,63 1387,63 1502,525764 1500,305556 562728 ODIN Fonder ODIN Norge NOK 2005-02-15 1,0833 1,0817 1390,4 1390,4 1506,22032 1503,99568 562728 ODIN Fonder ODIN Norge NOK 2005-02-16 1,0848 1,0832 1379,11 1379,11 1496,058528 1493,851952 562728 ODIN Fonder ODIN Norge NOK 2005-02-17 1,0863 1,0847 1390,33 1390,33 1510,315479 1508,090951 562728 ODIN Fonder ODIN Norge NOK 2005-02-18 1,0943 1,0927 1387,4 1387,4 1518,23182 1516,01198 562728 ODIN Fonder ODIN Norge NOK 2005-02-21 1,0998 1,0982 1391,91 1391,91 1530,822618 1528,595562 562728 ODIN Fonder ODIN Norge NOK 2005-02-22 1,1028 1,1012 1386,54 1386,54 1529,076312 1526,857848 562728 ODIN Fonder ODIN Norge NOK 2005-02-23 1,1023 1,1007 1390,61 1390,61 1532,869403 1530,644427 562728 ODIN Fonder ODIN Norge NOK 2005-02-24 1,1013 1,0997 1411,39 1411,39 1554,363807 1552,105583 562728 ODIN Fonder ODIN Norge NOK 2005-02-25 1,1018 1,1002 1422,02 1422,02 1566,781636 1564,506404 562728 ODIN Fonder ODIN Norge NOK 2005-02-28 1,0968 1,0952 1427,96 1427,96 1566,186528 1563,901792 562728 ODIN Fonder ODIN Norge NOK 2005-03-01 1,1013 1,0997 1425,48 1425,48 1569,881124 1567,600356 562728 ODIN Fonder ODIN Norge NOK 2005-03-02 1,1068 1,1052 1420,81 1420,81 1572,552508 1570,279212 562728 ODIN Fonder ODIN Norge NOK 2005-03-03 1,1058 1,1042 1429,56 1429,56 1580,807448 1578,520152 562728 ODIN Fonder ODIN Norge NOK 2005-03-04 1,1013 1,0997 1452,09 1452,09 1599,186717 1596,863373 562728 ODIN Fonder ODIN Norge NOK 2005-03-07 1,1003 1,0987 1464,15 1464,15 1611,004245 1608,661605 562728 ODIN Fonder ODIN Norge NOK 2005-03-08 1,1033 1,1017 1457,82 1457,82 1608,412806 1606,080294 562728 ODIN Fonder ODIN Norge NOK 2005-03-09 1,1053 1,1037 1453,07 1453,07 1606,078271 1603,753359 562728 ODIN Fonder ODIN Norge NOK 2005-03-10 1,1053 1,1037 1438,33 1438,33 1589,786149 1587,484821 562728 ODIN Fonder ODIN Norge NOK 2005-03-11 1,1113 1,1097 1438,81 1438,81 1598,949553 1596,647457 562728 ODIN Fonder ODIN Norge NOK 2005-03-14 1,1113 1,1097 1447,82 1447,82 1608,962366 1606,645854 562728 ODIN Fonder ODIN Norge NOK 2005-03-15 1,1138 1,1122 1453,73 1453,73 1619,164474 1616,838506 562728 ODIN Fonder ODIN Norge NOK 2005-03-16 1,1128 1,1112 1435,51 1435,51 1597,435528 1595,138712 562728 ODIN Fonder ODIN Norge NOK 2005-03-17 1,1193 1,1177 1435,97 1435,97 1607,281221 1604,983669 562728 ODIN Fonder ODIN Norge NOK 2005-03-18 1,1193 1,1177 1436,89 1436,89 1608,310977 1606,011953 562728 ODIN Fonder ODIN Norge NOK 2005-03-21 1,1218 1,1202 1440,85 1440,85 1616,34553 1614,04017 562728 ODIN Fonder ODIN Norge NOK 2005-03-22 1,1183 1,1167 1436,46 1436,46 1606,393218 1604,094882 562728 ODIN Fonder ODIN Norge NOK 2005-03-23 1,1158 1,1142 1427,1 1427,1 1592,35818 1590,07482 562728 ODIN Fonder ODIN Norge NOK 2005-03-29 1,1103 1,1087 1419,3 1419,3 1575,84879 1573,57791 562728 ODIN Fonder ODIN Norge NOK 2005-03-30 1,1168 1,1152 1412,52 1412,52 1577,502336 1575,242304 562728 ODIN Fonder ODIN Norge NOK 2005-03-31 1,1163 1,1147 1424,74 1424,74 1590,437262 1588,157678 562728 ODIN Fonder ODIN Norge NOK 2005-04-01 1,1173 1,1157 1445,09 1445,09 1614,599057 1612,286913 562728 ODIN Fonder ODIN Norge NOK 2005-04-04 1,1198 1,1182 1457,81 1457,81 1632,455638 1630,123142 562728 ODIN Fonder ODIN Norge NOK 2005-04-05 1,1223 1,1207 1453,71 1453,71 1631,498733 1629,172797 562728 ODIN Fonder ODIN Norge NOK 2005-04-06 1,1243 1,1227 1459,46 1459,46 1640,870878 1638,535742 562728 ODIN Fonder ODIN Norge NOK 2005-04-07 1,1208 1,1192 1482,47 1482,47 1661,552376 1659,180424 562728 ODIN Fonder ODIN Norge NOK 2005-04-08 1,1208 1,1192 1489,4 1489,4 1669,31952 1666,93648 562728 ODIN Fonder ODIN Norge NOK 2005-04-11 1,1203 1,1187 1472,58 1472,58 1649,731374 1647,375246 562728 ODIN Fonder ODIN Norge NOK 2005-04-12 1,1173 1,1157 1477,81 1477,81 1651,157113 1648,792617 562728 ODIN Fonder ODIN Norge NOK 2005-04-13 1,1183 1,1167 1473,76 1473,76 1648,105808 1645,747792 562728 ODIN Fonder ODIN Norge NOK 2005-04-14 1,1153 1,1137 1466,45 1466,45 1635,531685 1633,185365 562728 ODIN Fonder ODIN Norge NOK 2005-04-15 1,1178 1,1162 1433,85 1433,85 1602,75753 1600,46337 562728 ODIN Fonder ODIN Norge NOK 2005-04-18 1,1148 1,1132 1377,99 1377,99 1536,183252 1533,978468 562728 ODIN Fonder ODIN Norge NOK 2005-04-19 1,1213 1,1197 1381,15 1381,15 1548,683495 1546,473655 562728 ODIN Fonder ODIN Norge NOK 2005-04-20 1,1218 1,1202 1395,55 1395,55 1565,52799 1563,29511 562728 ODIN Fonder ODIN Norge NOK 2005-04-21 1,1253 1,1237 1381,36 1381,36 1554,444408 1552,234232 562728 ODIN Fonder ODIN Norge NOK 2005-04-22 1,1248 1,1232 1389,47 1389,47 1562,875856 1560,652704 562728 ODIN Fonder ODIN Norge NOK 2005-04-25 1,1258 1,1242 1391 1391 1565,9878 1563,7622 562728 ODIN Fonder ODIN Norge NOK 2005-04-26 1,1243 1,1227 1390,27 1390,27 1563,080561 1560,856129 562728 ODIN Fonder ODIN Norge NOK 2005-04-27 1,1253 1,1237 1363,8 1363,8 1534,68414 1532,50206 562728 ODIN Fonder ODIN Norge NOK 2005-04-28 1,1248 1,1232 1333,2 1333,2 1499,58336 1497,45024 562728 ODIN Fonder ODIN Norge NOK 2005-04-29 1,1268 1,1252 1328,92 1328,92 1497,427056 1495,300784 562728 ODIN Fonder ODIN Norge NOK 2005-05-02 1,1313 1,1297 1336,97 1336,97 1512,514161 1510,375009 562728 ODIN Fonder ODIN Norge NOK 2005-05-03 1,1343 1,1327 1345,19 1345,19 1525,849017 1523,696713 562728 ODIN Fonder ODIN Norge NOK 2005-05-04 1,1323 1,1307 1324,41 1324,41 1499,629443 1497,510387 562728 ODIN Fonder ODIN Norge NOK 2005-05-06 1,1313 1,1297 1349,45 1349,45 1526,632785 1524,473665 562728 ODIN Fonder ODIN Norge NOK 2005-05-09 1,1288 1,1272 1365,94 1365,94 1541,873072 1539,687568 562728 ODIN Fonder ODIN Norge NOK 2005-05-10 1,1328 1,1312 1365,21 1365,21 1546,509888 1544,325552 562728 ODIN Fonder ODIN Norge NOK 2005-05-11 1,1398 1,1382 1368,31 1368,31 1559,599738 1557,410442 562728 ODIN Fonder ODIN Norge NOK 2005-05-12 1,1418 1,1402 1368,49 1368,49 1562,541882 1560,352298 562728 ODIN Fonder ODIN Norge NOK 2005-05-13 1,1373 1,1357 1355,38 1355,38 1541,473674 1539,305066 562728 ODIN Fonder ODIN Norge NOK 2005-05-18 1,1373 1,1357 1356,12 1356,12 1542,315276 1540,145484 562728 ODIN Fonder ODIN Norge NOK 2005-05-19 1,1328 1,1312 1364,83 1364,83 1546,079424 1543,895696 562728 ODIN Fonder ODIN Norge NOK 2005-05-20 1,1338 1,1322 1371,37 1371,37 1554,859306 1552,665114 562728 ODIN Fonder ODIN Norge NOK 2005-05-23 1,1303 1,1287 1366,62 1366,62 1544,690586 1542,503994 562728 ODIN Fonder ODIN Norge NOK 2005-05-24 1,1323 1,1307 1369,29 1369,29 1550,447067 1548,256203 562728 ODIN Fonder ODIN Norge NOK 2005-05-25 1,1353 1,1337 1374,82 1374,82 1560,833146 1558,633434 562728 ODIN Fonder ODIN Norge NOK 2005-05-26 1,1478 1,1462 1389,53 1389,53 1594,902534 1592,679286 562728 ODIN Fonder ODIN Norge NOK 2005-05-27 1,1528 1,1512 1399,47 1399,47 1613,309016 1611,069864 562728 ODIN Fonder ODIN Norge NOK 2005-05-30 1,1538 1,1522 1402,29 1402,29 1617,962202 1615,718538 562728 ODIN Fonder ODIN Norge NOK 2005-05-31 1,1488 1,1472 1403,44 1403,44 1612,271872 1610,026368 562728 ODIN Fonder ODIN Norge NOK 2005-06-01 1,1533 1,1517 1419,77 1419,77 1637,420741 1635,149109 562728 ODIN Fonder ODIN Norge NOK 2005-06-02 1,1563 1,1547 1424,21 1424,21 1646,814023 1644,535287 562728 ODIN Fonder ODIN Norge NOK 2005-06-03 1,1533 1,1517 1425,49 1425,49 1644,017617 1641,736833 562728 ODIN Fonder ODIN Norge NOK 2005-06-07 1,1613 1,1597 1448,48 1448,48 1682,119824 1679,802256 562728 ODIN Fonder ODIN Norge NOK 2005-06-08 1,1593 1,1577 1456,04 1456,04 1687,987172 1685,657508 562728 ODIN Fonder ODIN Norge NOK 2005-06-09 1,1618 1,1602 1461,95 1461,95 1698,49351 1696,15439 562728 ODIN Fonder ODIN Norge NOK 2005-06-10 1,1648 1,1632 1478,65 1478,65 1722,33152 1719,96568 562728 ODIN Fonder ODIN Norge NOK 2005-06-13 1,1778 1,1762 1476,14 1476,14 1738,597692 1736,235868 562728 ODIN Fonder ODIN Norge NOK 2005-06-14 1,1823 1,1807 1479,03 1479,03 1748,657169 1746,290721 562728 ODIN Fonder ODIN Norge NOK 2005-06-15 1,1798 1,1782 1483,14 1483,14 1749,808572 1747,435548 562728 ODIN Fonder ODIN Norge NOK 2005-06-16 1,1773 1,1757 1487,22 1487,22 1750,904106 1748,524554 562728 ODIN Fonder ODIN Norge NOK 2005-06-17 1,1798 1,1782 1501,16 1501,16 1771,068568 1768,666712 562728 ODIN Fonder ODIN Norge NOK 2005-06-20 1,1728 1,1712 1524,83 1524,83 1788,320624 1785,880896 562728 ODIN Fonder ODIN Norge NOK 2005-06-21 1,1803 1,1787 1524,2 1524,2 1799,01326 1796,57454 562728 ODIN Fonder ODIN Norge NOK 2005-06-22 1,1773 1,1757 1523,3 1523,3 1793,38109 1790,94381 562728 ODIN Fonder ODIN Norge NOK 2005-06-23 1,1853 1,1837 1529,25 1529,25 1812,620025 1810,173225 562728 ODIN Fonder ODIN Norge NOK 2005-06-27 1,1838 1,1822 1534,57 1534,57 1816,623966 1814,168654 562728 ODIN Fonder ODIN Norge NOK 2005-06-28 1,1833 1,1817 1547,28 1547,28 1830,896424 1828,420776 562728 ODIN Fonder ODIN Norge NOK 2005-06-29 1,1888 1,1872 1555,5 1555,5 1849,1784 1846,6896 562728 ODIN Fonder ODIN Norge NOK 2005-06-30 1,1933 1,1917 1565,36 1565,36 1867,944088 1865,439512 562728 ODIN Fonder ODIN Norge NOK 2005-07-01 1,1983 1,1967 1571,81 1571,81 1883,499923 1880,985027 562728 ODIN Fonder ODIN Norge NOK 2005-07-04 1,2048 1,2032 1576,48 1576,48 1899,343104 1896,820736 562728 ODIN Fonder ODIN Norge NOK 2005-07-05 1,1983 1,1967 1581,98 1581,98 1895,686634 1893,155466 562728 ODIN Fonder ODIN Norge NOK 2005-07-06 1,1918 1,1902 1606,7 1606,7 1914,86506 1912,29434 562728 ODIN Fonder ODIN Norge NOK 2005-07-07 1,1883 1,1867 1575,72 1575,72 1872,428076 1869,906924 562728 ODIN Fonder ODIN Norge NOK 2005-07-08 1,1943 1,1927 1618,03 1618,03 1932,413229 1929,824381 562728 ODIN Fonder ODIN Norge NOK 2005-07-11 1,1998 1,1982 1628,28 1628,28 1953,610344 1951,005096 562728 ODIN Fonder ODIN Norge NOK 2005-07-12 1,1983 1,1967 1628,56 1628,56 1951,503448 1948,897752 562728 ODIN Fonder ODIN Norge NOK 2005-07-13 1,1908 1,1892 1629,47 1629,47 1940,372876 1937,765724 562728 ODIN Fonder ODIN Norge NOK 2005-07-14 1,1838 1,1822 1645,44 1645,44 1947,871872 1945,239168 562728 ODIN Fonder ODIN Norge NOK 2005-07-15 1,1823 1,1807 1632,56 1632,56 1930,175688 1927,563592 562728 ODIN Fonder ODIN Norge NOK 2005-07-18 1,1808 1,1792 1633,61 1633,61 1928,966688 1926,352912 562728 ODIN Fonder ODIN Norge NOK 2005-07-19 1,1768 1,1752 1625,12 1625,12 1912,441216 1909,841024 562728 ODIN Fonder ODIN Norge NOK 2005-07-20 1,1768 1,1752 1628,34 1628,34 1916,230512 1913,625168 562728 ODIN Fonder ODIN Norge NOK 2005-07-21 1,1863 1,1847 1632,49 1632,49 1936,622887 1934,010903 562728 ODIN Fonder ODIN Norge NOK 2005-07-22 1,1868 1,1852 1645,02 1645,02 1952,309736 1949,677704 562728 ODIN Fonder ODIN Norge NOK 2005-07-25 1,1863 1,1847 1671,12 1671,12 1982,449656 1979,775864 562728 ODIN Fonder ODIN Norge NOK 2005-07-26 1,1913 1,1897 1682,48 1682,48 2004,338424 2001,646456 562728 ODIN Fonder ODIN Norge NOK 2005-07-27 1,1978 1,1962 1684,29 1684,29 2017,442562 2014,747698 562728 ODIN Fonder ODIN Norge NOK 2005-07-28 1,1928 1,1912 1696,75 1696,75 2023,8834 2021,1686 562728 ODIN Fonder ODIN Norge NOK 2005-07-29 1,1883 1,1867 1713,03 1713,03 2035,593549 2032,852701 562728 ODIN Fonder ODIN Norge NOK 2005-08-01 1,1963 1,1947 1731,79 1731,79 2071,740377 2068,969513 562728 ODIN Fonder ODIN Norge NOK 2005-08-02 1,1983 1,1967 1744,13 1744,13 2089,990979 2087,200371 562728 ODIN Fonder ODIN Norge NOK 2005-08-03 1,1933 1,1917 1741,36 1741,36 2077,964888 2075,178712 562728 ODIN Fonder ODIN Norge NOK 2005-08-04 1,1933 1,1917 1746,97 1746,97 2084,659301 2081,864149 562728 ODIN Fonder ODIN Norge NOK 2005-08-05 1,1873 1,1857 1748,21 1748,21 2075,649733 2072,852597 562728 ODIN Fonder ODIN Norge NOK 2005-08-08 1,1783 1,1767 1753,32 1753,32 2065,936956 2063,131644 562728 ODIN Fonder ODIN Norge NOK 2005-08-09 1,1818 1,1802 1757,08 1757,08 2076,517144 2073,705816 562728 ODIN Fonder ODIN Norge NOK 2005-08-10 1,1843 1,1827 1762,22 1762,22 2086,997146 2084,177594 562728 ODIN Fonder ODIN Norge NOK 2005-08-11 1,1828 1,1812 1768,89 1768,89 2092,243092 2089,412868 562728 ODIN Fonder ODIN Norge NOK 2005-08-12 1,1793 1,1777 1775,59 1775,59 2093,953287 2091,112343 562728 ODIN Fonder ODIN Norge NOK 2005-08-15 1,1768 1,1752 1769,19 1769,19 2081,982792 2079,152088 562728 ODIN Fonder ODIN Norge NOK 2005-08-16 1,1653 1,1637 1755,94 1755,94 2046,196882 2043,387378 562728 ODIN Fonder ODIN Norge NOK 2005-08-17 1,1773 1,1757 1744,32 1744,32 2053,587936 2050,797024 562728 ODIN Fonder ODIN Norge NOK 2005-08-18 1,1773 1,1757 1747,25 1747,25 2057,037425 2054,241825 562728 ODIN Fonder ODIN Norge NOK 2005-08-19 1,1748 1,1732 1764,18 1764,18 2072,558664 2069,735976 562728 ODIN Fonder ODIN Norge NOK 2005-08-22 1,1728 1,1712 1783,09 1783,09 2091,207952 2088,355008 562728 ODIN Fonder ODIN Norge NOK 2005-08-23 1,1708 1,1692 1779,77 1779,77 2083,754716 2080,907084 562728 ODIN Fonder ODIN Norge NOK 2005-08-24 1,1743 1,1727 1762,79 1762,79 2070,044297 2067,223833 562728 ODIN Fonder ODIN Norge NOK 2005-08-25 1,1768 1,1752 1761,73 1761,73 2073,203864 2070,385096 562728 ODIN Fonder ODIN Norge NOK 2005-08-26 1,1773 1,1757 1775,15 1775,15 2089,884095 2087,043855 562728 ODIN Fonder ODIN Norge NOK 2005-08-29 1,1798 1,1782 1775,17 1775,17 2094,345566 2091,505294 562728 ODIN Fonder ODIN Norge NOK 2005-08-30 1,1793 1,1777 1784,12 1784,12 2104,012716 2101,158124 562728 ODIN Fonder ODIN Norge NOK 2005-08-31 1,1848 1,1832 1794,64 1794,64 2126,289472 2123,418048 562728 ODIN Fonder ODIN Norge NOK 2005-09-01 1,1888 1,1872 1807,52 1807,52 2148,779776 2145,887744 562728 ODIN Fonder ODIN Norge NOK 2005-09-02 1,1948 1,1932 1794,72 1794,72 2144,331456 2141,459904 562728 ODIN Fonder ODIN Norge NOK 2005-09-05 1,1903 1,1887 1786,61 1786,61 2126,601883 2123,743307 562728 ODIN Fonder ODIN Norge NOK 2005-09-06 1,1898 1,1882 1798,68 1798,68 2140,069464 2137,191576 562728 ODIN Fonder ODIN Norge NOK 2005-09-07 1,1938 1,1922 1792,15 1792,15 2139,46867 2136,60123 562728 ODIN Fonder ODIN Norge NOK 2005-09-08 1,1988 1,1972 1798,9 1798,9 2156,52132 2153,64308 562728 ODIN Fonder ODIN Norge NOK 2005-09-09 1,2008 1,1992 1797,46 1797,46 2158,389968 2155,514032 562728 ODIN Fonder ODIN Norge NOK 2005-09-12 1,1953 1,1937 1805,21 1805,21 2157,767513 2154,879177 562728 ODIN Fonder ODIN Norge NOK 2005-09-13 1,1938 1,1922 1784,44 1784,44 2130,264472 2127,409368 562728 ODIN Fonder ODIN Norge NOK 2005-09-14 1,1953 1,1937 1785,89 1785,89 2134,674317 2131,816893 562728 ODIN Fonder ODIN Norge NOK 2005-09-15 1,2003 1,1987 1803,9 1803,9 2165,22117 2162,33493 562728 ODIN Fonder ODIN Norge NOK 2005-09-16 1,2008 1,1992 1822,62 1822,62 2188,602096 2185,685904 562728 ODIN Fonder ODIN Norge NOK 2005-09-19 1,1973 1,1957 1842,84 1842,84 2206,432332 2203,483788 562728 ODIN Fonder ODIN Norge NOK 2005-09-20 1,2018 1,2002 1849,9 1849,9 2223,20982 2220,24998 562728 ODIN Fonder ODIN Norge NOK 2005-09-21 1,1988 1,1972 1845,98 1845,98 2212,960824 2210,007256 562728 ODIN Fonder ODIN Norge NOK 2005-09-22 1,2018 1,2002 1844,07 1844,07 2216,203326 2213,252814 562728 ODIN Fonder ODIN Norge NOK 2005-09-23 1,2043 1,2027 1833,49 1833,49 2208,072007 2205,138423 562728 ODIN Fonder ODIN Norge NOK 2005-09-26 1,1993 1,1977 1831,68 1831,68 2196,733824 2193,803136 562728 ODIN Fonder ODIN Norge NOK 2005-09-27 1,2003 1,1987 1826,44 1826,44 2192,275932 2189,353628 562728 ODIN Fonder ODIN Norge NOK 2005-09-28 1,2013 1,1997 1828,73 1828,73 2196,853349 2193,927381 562728 ODIN Fonder ODIN Norge NOK 2005-09-29 1,2023 1,2007 1827,96 1827,96 2197,756308 2194,831572 562728 ODIN Fonder ODIN Norge NOK 2005-09-30 1,1918 1,1902 1841,85 1841,85 2195,11683 2192,16987 562728 ODIN Fonder ODIN Norge NOK 2005-10-03 1,1798 1,1782 1853,78 1853,78 2187,089644 2184,123596 562728 ODIN Fonder ODIN Norge NOK 2005-10-04 1,1838 1,1822 1851,26 1851,26 2191,521588 2188,559572 562728 ODIN Fonder ODIN Norge NOK 2005-10-05 1,1788 1,1772 1832,53 1832,53 2160,186364 2157,254316 562728 ODIN Fonder ODIN Norge NOK 2005-10-06 1,1798 1,1782 1763,05 1763,05 2080,04639 2077,22551 562728 ODIN Fonder ODIN Norge NOK 2005-10-07 1,1828 1,1812 1747,07 1747,07 2066,434396 2063,639084 562728 ODIN Fonder ODIN Norge NOK 2005-10-10 1,1808 1,1792 1764,22 1764,22 2083,190976 2080,368224 562728 ODIN Fonder ODIN Norge NOK 2005-10-11 1,1898 1,1882 1758 1758 2091,6684 2088,8556 562728 ODIN Fonder ODIN Norge NOK 2005-10-12 1,1918 1,1902 1749,1 1749,1 2084,57738 2081,77882 562728 ODIN Fonder ODIN Norge NOK 2005-10-13 1,2023 1,2007 1688,75 1688,75 2030,384125 2027,682125 562728 ODIN Fonder ODIN Norge NOK 2005-10-14 1,2028 1,2012 1659,83 1659,83 1996,443524 1993,787796 562728 ODIN Fonder ODIN Norge NOK 2005-10-17 1,2118 1,2102 1677,67 1677,67 2033,000506 2030,316234 562728 ODIN Fonder ODIN Norge NOK 2005-10-18 1,2118 1,2102 1640,25 1640,25 1987,65495 1985,03055 562728 ODIN Fonder ODIN Norge NOK 2005-10-19 1,2103 1,2087 1571,59 1571,59 1902,095377 1899,580833 562728 ODIN Fonder ODIN Norge NOK 2005-10-20 1,2173 1,2157 1599,49 1599,49 1947,059177 1944,499993 562728 ODIN Fonder ODIN Norge NOK 2005-10-21 1,2183 1,2167 1593,96 1593,96 1941,921468 1939,371132 562728 ODIN Fonder ODIN Norge NOK 2005-10-24 1,2243 1,2227 1641,44 1641,44 2009,614992 2006,988688 562728 ODIN Fonder ODIN Norge NOK 2005-10-25 1,2203 1,2187 1664,13 1664,13 2030,737839 2028,075231 562728 ODIN Fonder ODIN Norge NOK 2005-10-26 1,2148 1,2132 1686,07 1686,07 2048,237836 2045,540124 562728 ODIN Fonder ODIN Norge NOK 2005-10-27 1,2228 1,2212 1665,24 1665,24 2036,255472 2033,591088 562728 ODIN Fonder ODIN Norge NOK 2005-10-28 1,2188 1,2172 1653,88 1653,88 2015,748944 2013,102736 562728 ODIN Fonder ODIN Norge NOK 2005-10-31 1,2233 1,2217 1685,49 1685,49 2061,859917 2059,163133 562728 ODIN Fonder ODIN Norge NOK 2005-11-01 1,2273 1,2257 1688,96 1688,96 2072,860608 2070,158272 562728 ODIN Fonder ODIN Norge NOK 2005-11-02 1,2338 1,2322 1693,27 1693,27 2089,156526 2086,447294 562728 ODIN Fonder ODIN Norge NOK 2005-11-03 1,2398 1,2382 1731,83 1731,83 2147,122834 2144,351906 562728 ODIN Fonder ODIN Norge NOK 2005-11-04 1,2308 1,2292 1743,77 1743,77 2146,232116 2143,442084 562728 ODIN Fonder ODIN Norge NOK 2005-11-07 1,2348 1,2332 1753,05 1753,05 2164,66614 2161,86126 562728 ODIN Fonder ODIN Norge NOK 2005-11-08 1,2298 1,2282 1744,84 1744,84 2145,804232 2143,012488 562728 ODIN Fonder ODIN Norge NOK 2005-11-09 1,2278 1,2262 1739,38 1739,38 2135,610764 2132,827756 562728 ODIN Fonder ODIN Norge NOK 2005-11-10 1,2428 1,2412 1733,4 1733,4 2154,26952 2151,49608 562728 ODIN Fonder ODIN Norge NOK 2005-11-11 1,2453 1,2437 1722,61 1722,61 2145,166233 2142,410057 562728 ODIN Fonder ODIN Norge NOK 2005-11-14 1,2323 1,2307 1718,39 1718,39 2117,571997 2114,822573 562728 ODIN Fonder ODIN Norge NOK 2005-11-15 1,2293 1,2277 1714,61 1714,61 2107,770073 2105,026697 562728 ODIN Fonder ODIN Norge NOK 2005-11-16 1,2298 1,2282 1692,07 1692,07 2080,907686 2078,200374 562728 ODIN Fonder ODIN Norge NOK 2005-11-17 1,2318 1,2302 1712,36 1712,36 2109,285048 2106,545272 562728 ODIN Fonder ODIN Norge NOK 2005-11-18 1,2233 1,2217 1707,78 1707,78 2089,127274 2086,394826 562728 ODIN Fonder ODIN Norge NOK 2005-11-21 1,2168 1,2152 1715,7 1715,7 2087,66376 2084,91864 562728 ODIN Fonder ODIN Norge NOK 2005-11-22 1,2143 1,2127 1734,7 1734,7 2106,44621 2103,67069 562728 ODIN Fonder ODIN Norge NOK 2005-11-23 1,2093 1,2077 1737,39 1737,39 2101,025727 2098,245903 562728 ODIN Fonder ODIN Norge NOK 2005-11-24 1,2083 1,2067 1730,5 1730,5 2090,96315 2088,19435 562728 ODIN Fonder ODIN Norge NOK 2005-11-25 1,2028 1,2012 1746,5 1746,5 2100,6902 2097,8958 562728 ODIN Fonder ODIN Norge NOK 2005-11-28 1,2068 1,2052 1759,75 1759,75 2123,6663 2120,8507 562728 ODIN Fonder ODIN Norge NOK 2005-11-29 1,1968 1,1952 1757,47 1757,47 2103,340096 2100,528144 562728 ODIN Fonder ODIN Norge NOK 2005-11-30 1,1983 1,1967 1764,06 1764,06 2113,873098 2111,050602 562728 ODIN Fonder ODIN Norge NOK 2005-12-01 1,1963 1,1947 1779,12 1779,12 2128,361256 2125,514664 562728 ODIN Fonder ODIN Norge NOK 2005-12-02 1,1993 1,1977 1789,97 1789,97 2146,711021 2143,847069 562728 ODIN Fonder ODIN Norge NOK 2005-12-05 1,1908 1,1892 1797,81 1797,81 2140,832148 2137,955652 562728 ODIN Fonder ODIN Norge NOK 2005-12-06 1,1948 1,1932 1809,85 1809,85 2162,40878 2159,51302 562728 ODIN Fonder ODIN Norge NOK 2005-12-07 1,1833 1,1817 1830,19 1830,19 2165,663827 2162,735523 562728 ODIN Fonder ODIN Norge NOK 2005-12-08 1,1848 1,1832 1833,71 1833,71 2172,579608 2169,645672 562728 ODIN Fonder ODIN Norge NOK 2005-12-12 1,1888 1,1872 1861,23 1861,23 2212,630224 2209,652256 562728 ODIN Fonder ODIN Norge NOK 2005-12-13 1,1853 1,1837 1890,75 1890,75 2241,105975 2238,080775 562728 ODIN Fonder ODIN Norge NOK 2005-12-14 1,1888 1,1872 1883,38 1883,38 2238,962144 2235,948736 562728 ODIN Fonder ODIN Norge NOK 2005-12-15 1,1868 1,1852 1892,06 1892,06 2245,496808 2242,469512 562728 ODIN Fonder ODIN Norge NOK 2005-12-16 1,1943 1,1927 1886,04 1886,04 2252,497572 2249,479908 562728 ODIN Fonder ODIN Norge NOK 2005-12-19 1,1818 1,1802 1868,22 1868,22 2207,862396 2204,873244 562728 ODIN Fonder ODIN Norge NOK 2005-12-20 1,1728 1,1712 1868,88 1868,88 2191,822464 2188,832256 562728 ODIN Fonder ODIN Norge NOK 2005-12-21 1,1728 1,1712 1887,01 1887,01 2213,085328 2210,066112 562728 ODIN Fonder ODIN Norge NOK 2005-12-22 1,1778 1,1762 1905,24 1905,24 2243,991672 2240,943288 562728 ODIN Fonder ODIN Norge NOK 2005-12-23 1,1738 1,1722 1911,32 1911,32 2243,507416 2240,449304 562728 ODIN Fonder ODIN Norge NOK 2005-12-27 1,1833 1,1817 1924,4 1924,4 2277,14252 2274,06348 562728 ODIN Fonder ODIN Norge NOK 2005-12-28 1,1763 1,1747 1926,11 1926,11 2265,683193 2262,601417 562728 ODIN Fonder ODIN Norge NOK 2005-12-29 1,1718 1,1702 1937,34 1937,34 2270,175012 2267,075268 562728 ODIN Fonder ODIN Norge NOK 2005-12-30 1,1768 1,1752 1947,98 1947,98 2292,382864 2289,266096 450981 ODIN Fonder ODIN Sverige NOK 2005-01-03 1,0958 1,0942 829,02 829,02 908,440116 907,113684 450981 ODIN Fonder ODIN Sverige NOK 2005-01-04 1,0963 1,0947 830,44 830,44 910,411372 909,082668 450981 ODIN Fonder ODIN Sverige NOK 2005-01-05 1,0923 1,0907 826,66 826,66 902,960718 901,638062 450981 ODIN Fonder ODIN Sverige NOK 2005-01-07 1,0978 1,0962 824,39 824,39 905,015342 903,696318 450981 ODIN Fonder ODIN Sverige NOK 2005-01-10 1,1082 1,1066 827,07 827,07 916,558974 915,235662 450981 ODIN Fonder ODIN Sverige NOK 2005-01-11 1,1082 1,1066 825,76 825,76 915,107232 913,786016 450981 ODIN Fonder ODIN Sverige NOK 2005-01-12 1,1038 1,1022 818,76 818,76 903,747288 902,437272 450981 ODIN Fonder ODIN Sverige NOK 2005-01-13 1,1023 1,1007 819,57 819,57 903,412011 902,100699 450981 ODIN Fonder ODIN Sverige NOK 2005-01-14 1,1073 1,1057 821,56 821,56 909,713388 908,398892 450981 ODIN Fonder ODIN Sverige NOK 2005-01-17 1,1058 1,1042 827,04 827,04 914,540832 913,217568 450981 ODIN Fonder ODIN Sverige NOK 2005-01-18 1,1083 1,1067 823,94 823,94 913,172702 911,854398 450981 ODIN Fonder ODIN Sverige NOK 2005-01-19 1,1083 1,1067 828,66 828,66 918,403878 917,078022 450981 ODIN Fonder ODIN Sverige NOK 2005-01-20 1,1073 1,1057 825,07 825,07 913,600011 912,279899 450981 ODIN Fonder ODIN Sverige NOK 2005-01-21 1,1038 1,1022 823,67 823,67 909,166946 907,849074 450981 ODIN Fonder ODIN Sverige NOK 2005-01-24 1,1053 1,1037 817,88 817,88 904,002764 902,694156 450981 ODIN Fonder ODIN Sverige NOK 2005-01-25 1,1063 1,1047 820,98 820,98 908,250174 906,936606 450981 ODIN Fonder ODIN Sverige NOK 2005-01-26 1,1038 1,1022 825,37 825,37 911,043406 909,722814 450981 ODIN Fonder ODIN Sverige NOK 2005-01-27 1,0988 1,0972 825,31 825,31 906,850628 905,530132 450981 ODIN Fonder ODIN Sverige NOK 2005-01-28 1,1033 1,1017 821,94 821,94 906,846402 905,531298 450981 ODIN Fonder ODIN Sverige NOK 2005-01-31 1,1028 1,1012 826,66 826,66 911,640648 910,317992 450981 ODIN Fonder ODIN Sverige NOK 2005-02-01 1,0983 1,0967 835,5 835,5 917,62965 916,29285 450981 ODIN Fonder ODIN Sverige NOK 2005-02-02 1,0988 1,0972 839,55 839,55 922,49754 921,15426 450981 ODIN Fonder ODIN Sverige NOK 2005-02-03 1,0983 1,0967 840,01 840,01 922,582983 921,238967 450981 ODIN Fonder ODIN Sverige NOK 2005-02-04 1,0968 1,0952 845,38 845,38 927,212784 925,860176 450981 ODIN Fonder ODIN Sverige NOK 2005-02-07 1,0938 1,0922 860,25 860,25 940,94145 939,56505 450981 ODIN Fonder ODIN Sverige NOK 2005-02-08 1,0898 1,0882 867,68 867,68 945,597664 944,209376 450981 ODIN Fonder ODIN Sverige NOK 2005-02-09 1,0843 1,0827 872,68 872,68 946,246924 944,850636 450981 ODIN Fonder ODIN Sverige NOK 2005-02-10 1,0848 1,0832 872,95 872,95 946,97616 945,57944 450981 ODIN Fonder ODIN Sverige NOK 2005-02-11 1,0788 1,0772 877,07 877,07 946,183116 944,779804 450981 ODIN Fonder ODIN Sverige NOK 2005-02-14 1,0828 1,0812 880,77 880,77 953,697756 952,288524 450981 ODIN Fonder ODIN Sverige NOK 2005-02-15 1,0833 1,0817 884,98 884,98 958,698834 957,282866 450981 ODIN Fonder ODIN Sverige NOK 2005-02-16 1,0848 1,0832 879,89 879,89 954,504672 953,096848 450981 ODIN Fonder ODIN Sverige NOK 2005-02-17 1,0863 1,0847 885,99 885,99 962,450937 961,033353 450981 ODIN Fonder ODIN Sverige NOK 2005-02-18 1,0943 1,0927 874,58 874,58 957,052894 955,653566 450981 ODIN Fonder ODIN Sverige NOK 2005-02-21 1,0998 1,0982 872,3 872,3 959,35554 957,95986 450981 ODIN Fonder ODIN Sverige NOK 2005-02-22 1,1028 1,1012 869,94 869,94 959,369832 957,977928 450981 ODIN Fonder ODIN Sverige NOK 2005-02-23 1,1023 1,1007 866,42 866,42 955,054766 953,668494 450981 ODIN Fonder ODIN Sverige NOK 2005-02-24 1,1013 1,0997 871,6 871,6 959,89308 958,49852 450981 ODIN Fonder ODIN Sverige NOK 2005-02-25 1,1018 1,1002 878,05 878,05 967,43549 966,03061 450981 ODIN Fonder ODIN Sverige NOK 2005-02-28 1,0968 1,0952 880,97 880,97 966,247896 964,838344 450981 ODIN Fonder ODIN Sverige NOK 2005-03-01 1,1013 1,0997 881,06 881,06 970,311378 968,901682 450981 ODIN Fonder ODIN Sverige NOK 2005-03-02 1,1068 1,1052 886,02 886,02 980,646936 979,229304 450981 ODIN Fonder ODIN Sverige NOK 2005-03-03 1,1058 1,1042 893,83 893,83 988,397214 986,967086 450981 ODIN Fonder ODIN Sverige NOK 2005-03-04 1,1013 1,0997 899,38 899,38 990,487194 989,048186 450981 ODIN Fonder ODIN Sverige NOK 2005-03-07 1,1003 1,0987 902,09 902,09 992,569627 991,126283 450981 ODIN Fonder ODIN Sverige NOK 2005-03-08 1,1033 1,1017 899,02 899,02 991,888766 990,450334 450981 ODIN Fonder ODIN Sverige NOK 2005-03-09 1,1053 1,1037 895,69 895,69 990,006157 988,573053 450981 ODIN Fonder ODIN Sverige NOK 2005-03-10 1,1053 1,1037 880,32 880,32 973,017696 971,609184 450981 ODIN Fonder ODIN Sverige NOK 2005-03-11 1,1113 1,1097 882,91 882,91 981,177883 979,765227 450981 ODIN Fonder ODIN Sverige NOK 2005-03-14 1,1113 1,1097 882,9 882,9 981,16677 979,75413 450981 ODIN Fonder ODIN Sverige NOK 2005-03-15 1,1138 1,1122 887,6 887,6 988,60888 987,18872 450981 ODIN Fonder ODIN Sverige NOK 2005-03-16 1,1128 1,1112 883,12 883,12 982,735936 981,322944 450981 ODIN Fonder ODIN Sverige NOK 2005-03-17 1,1193 1,1177 877,85 877,85 982,577505 981,172945 450981 ODIN Fonder ODIN Sverige NOK 2005-03-18 1,1193 1,1177 874,6 874,6 978,93978 977,54042 450981 ODIN Fonder ODIN Sverige NOK 2005-03-21 1,1218 1,1202 872,88 872,88 979,196784 977,800176 450981 ODIN Fonder ODIN Sverige NOK 2005-03-22 1,1183 1,1167 878,06 878,06 981,934498 980,529602 450981 ODIN Fonder ODIN Sverige NOK 2005-03-23 1,1158 1,1142 876 876 977,4408 976,0392 450981 ODIN Fonder ODIN Sverige NOK 2005-03-29 1,1103 1,1087 879,44 879,44 976,442232 975,035128 450981 ODIN Fonder ODIN Sverige NOK 2005-03-30 1,1168 1,1152 871,39 871,39 973,168352 971,774128 450981 ODIN Fonder ODIN Sverige NOK 2005-03-31 1,1163 1,1147 879,68 879,68 981,986784 980,579296 450981 ODIN Fonder ODIN Sverige NOK 2005-04-01 1,1173 1,1157 880,36 880,36 983,626228 982,217652 450981 ODIN Fonder ODIN Sverige NOK 2005-04-04 1,1198 1,1182 877,53 877,53 982,658094 981,254046 450981 ODIN Fonder ODIN Sverige NOK 2005-04-05 1,1223 1,1207 881,58 881,58 989,397234 987,986706 450981 ODIN Fonder ODIN Sverige NOK 2005-04-06 1,1243 1,1227 890,58 890,58 1001,279094 999,854166 450981 ODIN Fonder ODIN Sverige NOK 2005-04-07 1,1208 1,1192 892,76 892,76 1000,605408 999,176992 450981 ODIN Fonder ODIN Sverige NOK 2005-04-08 1,1208 1,1192 895,63 895,63 1003,822104 1002,389096 450981 ODIN Fonder ODIN Sverige NOK 2005-04-11 1,1203 1,1187 898,4 898,4 1006,47752 1005,04008 450981 ODIN Fonder ODIN Sverige NOK 2005-04-12 1,1173 1,1157 898,98 898,98 1004,430354 1002,991986 450981 ODIN Fonder ODIN Sverige NOK 2005-04-13 1,1183 1,1167 904,92 904,92 1011,972036 1010,524164 450981 ODIN Fonder ODIN Sverige NOK 2005-04-14 1,1153 1,1137 906,4 906,4 1010,90792 1009,45768 450981 ODIN Fonder ODIN Sverige NOK 2005-04-15 1,1178 1,1162 890,54 890,54 995,445612 994,020748 450981 ODIN Fonder ODIN Sverige NOK 2005-04-18 1,1148 1,1132 870,25 870,25 970,1547 968,7623 450981 ODIN Fonder ODIN Sverige NOK 2005-04-19 1,1213 1,1197 874,53 874,53 980,610489 979,211241 450981 ODIN Fonder ODIN Sverige NOK 2005-04-20 1,1218 1,1202 873,73 873,73 980,150314 978,752346 450981 ODIN Fonder ODIN Sverige NOK 2005-04-21 1,1253 1,1237 865,88 865,88 974,374764 972,989356 450981 ODIN Fonder ODIN Sverige NOK 2005-04-22 1,1248 1,1232 872,5 872,5 981,388 979,992 450981 ODIN Fonder ODIN Sverige NOK 2005-04-25 1,1258 1,1242 869,21 869,21 978,556618 977,165882 450981 ODIN Fonder ODIN Sverige NOK 2005-04-26 1,1243 1,1227 860,74 860,74 967,729982 966,352798 450981 ODIN Fonder ODIN Sverige NOK 2005-04-27 1,1253 1,1237 841,89 841,89 947,378817 946,031793 450981 ODIN Fonder ODIN Sverige NOK 2005-04-28 1,1248 1,1232 830,87 830,87 934,562576 933,233184 450981 ODIN Fonder ODIN Sverige NOK 2005-04-29 1,1268 1,1252 829,97 829,97 935,210196 933,882244 450981 ODIN Fonder ODIN Sverige NOK 2005-05-02 1,1313 1,1297 832,28 832,28 941,558364 940,226716 450981 ODIN Fonder ODIN Sverige NOK 2005-05-03 1,1343 1,1327 822,64 822,64 933,120552 931,804328 450981 ODIN Fonder ODIN Sverige NOK 2005-05-04 1,1323 1,1307 821,09 821,09 929,720207 928,406463 450981 ODIN Fonder ODIN Sverige NOK 2005-05-06 1,1313 1,1297 828,18 828,18 936,920034 935,594946 450981 ODIN Fonder ODIN Sverige NOK 2005-05-09 1,1288 1,1272 828,78 828,78 935,526864 934,200816 450981 ODIN Fonder ODIN Sverige NOK 2005-05-10 1,1328 1,1312 824,65 824,65 934,16352 932,84408 450981 ODIN Fonder ODIN Sverige NOK 2005-05-11 1,1398 1,1382 820,6 820,6 935,31988 934,00692 450981 ODIN Fonder ODIN Sverige NOK 2005-05-12 1,1418 1,1402 822,39 822,39 939,004902 937,689078 450981 ODIN Fonder ODIN Sverige NOK 2005-05-13 1,1373 1,1357 818,78 818,78 931,198494 929,888446 450981 ODIN Fonder ODIN Sverige NOK 2005-05-18 1,1373 1,1357 828,66 828,66 942,435018 941,109162 450981 ODIN Fonder ODIN Sverige NOK 2005-05-19 1,1328 1,1312 836,31 836,31 947,371968 946,033872 450981 ODIN Fonder ODIN Sverige NOK 2005-05-20 1,1338 1,1322 839,45 839,45 951,76841 950,42529 450981 ODIN Fonder ODIN Sverige NOK 2005-05-23 1,1303 1,1287 840,48 840,48 949,994544 948,649776 450981 ODIN Fonder ODIN Sverige NOK 2005-05-24 1,1323 1,1307 838,08 838,08 948,957984 947,617056 450981 ODIN Fonder ODIN Sverige NOK 2005-05-25 1,1353 1,1337 837,91 837,91 951,279223 949,938567 450981 ODIN Fonder ODIN Sverige NOK 2005-05-26 1,1478 1,1462 833,17 833,17 956,312526 954,979454 450981 ODIN Fonder ODIN Sverige NOK 2005-05-27 1,1528 1,1512 834,66 834,66 962,196048 960,860592 450981 ODIN Fonder ODIN Sverige NOK 2005-05-30 1,1538 1,1522 835,41 835,41 963,896058 962,559402 450981 ODIN Fonder ODIN Sverige NOK 2005-05-31 1,1488 1,1472 837,56 837,56 962,188928 960,848832 450981 ODIN Fonder ODIN Sverige NOK 2005-06-01 1,1533 1,1517 835,26 835,26 963,305358 961,968942 450981 ODIN Fonder ODIN Sverige NOK 2005-06-02 1,1563 1,1547 834,39 834,39 964,805157 963,470133 450981 ODIN Fonder ODIN Sverige NOK 2005-06-03 1,1533 1,1517 833,79 833,79 961,610007 960,275943 450981 ODIN Fonder ODIN Sverige NOK 2005-06-07 1,1613 1,1597 832,43 832,43 966,700959 965,369071 450981 ODIN Fonder ODIN Sverige NOK 2005-06-08 1,1593 1,1577 833,77 833,77 966,589561 965,255529 450981 ODIN Fonder ODIN Sverige NOK 2005-06-09 1,1618 1,1602 832,63 832,63 967,349534 966,017326 450981 ODIN Fonder ODIN Sverige NOK 2005-06-10 1,1648 1,1632 828,19 828,19 964,675712 963,350608 450981 ODIN Fonder ODIN Sverige NOK 2005-06-13 1,1778 1,1762 825,95 825,95 972,80391 971,48239 450981 ODIN Fonder ODIN Sverige NOK 2005-06-14 1,1823 1,1807 830,95 830,95 982,432185 981,102665 450981 ODIN Fonder ODIN Sverige NOK 2005-06-15 1,1798 1,1782 833,69 833,69 983,587462 982,253558 450981 ODIN Fonder ODIN Sverige NOK 2005-06-16 1,1773 1,1757 827,44 827,44 974,145112 972,821208 450981 ODIN Fonder ODIN Sverige NOK 2005-06-17 1,1798 1,1782 833,42 833,42 983,268916 981,935444 450981 ODIN Fonder ODIN Sverige NOK 2005-06-20 1,1728 1,1712 830,91 830,91 974,491248 973,161792 450981 ODIN Fonder ODIN Sverige NOK 2005-06-21 1,1803 1,1787 830,7 830,7 980,47521 979,14609 450981 ODIN Fonder ODIN Sverige NOK 2005-06-22 1,1773 1,1757 831,44 831,44 978,854312 977,524008 450981 ODIN Fonder ODIN Sverige NOK 2005-06-23 1,1853 1,1837 834,22 834,22 988,800966 987,466214 450981 ODIN Fonder ODIN Sverige NOK 2005-06-27 1,1838 1,1822 821,77 821,77 972,811326 971,496494 450981 ODIN Fonder ODIN Sverige NOK 2005-06-28 1,1833 1,1817 824,59 824,59 975,737347 974,418003 450981 ODIN Fonder ODIN Sverige NOK 2005-06-29 1,1888 1,1872 820,36 820,36 975,243968 973,931392 450981 ODIN Fonder ODIN Sverige NOK 2005-06-30 1,1933 1,1917 824,64 824,64 984,042912 982,723488 450981 ODIN Fonder ODIN Sverige NOK 2005-07-01 1,1983 1,1967 821,42 821,42 984,307586 982,993314 450981 ODIN Fonder ODIN Sverige NOK 2005-07-04 1,2048 1,2032 822,26 822,26 990,658848 989,343232 450981 ODIN Fonder ODIN Sverige NOK 2005-07-05 1,1983 1,1967 830,74 830,74 995,475742 994,146558 450981 ODIN Fonder ODIN Sverige NOK 2005-07-06 1,1918 1,1902 835,8 835,8 996,10644 994,76916 450981 ODIN Fonder ODIN Sverige NOK 2005-07-07 1,1883 1,1867 819,03 819,03 973,253349 971,942901 450981 ODIN Fonder ODIN Sverige NOK 2005-07-08 1,1943 1,1927 823,66 823,66 983,697138 982,379282 450981 ODIN Fonder ODIN Sverige NOK 2005-07-11 1,1998 1,1982 827,21 827,21 992,486558 991,163022 450981 ODIN Fonder ODIN Sverige NOK 2005-07-12 1,1983 1,1967 834,19 834,19 999,609877 998,275173 450981 ODIN Fonder ODIN Sverige NOK 2005-07-13 1,1908 1,1892 844,65 844,65 1005,80922 1004,45778 450981 ODIN Fonder ODIN Sverige NOK 2005-07-14 1,1838 1,1822 848,92 848,92 1004,951496 1003,593224 450981 ODIN Fonder ODIN Sverige NOK 2005-07-15 1,1823 1,1807 851,06 851,06 1006,208238 1004,846542 450981 ODIN Fonder ODIN Sverige NOK 2005-07-18 1,1808 1,1792 856,44 856,44 1011,284352 1009,914048 450981 ODIN Fonder ODIN Sverige NOK 2005-07-19 1,1768 1,1752 859,86 859,86 1011,883248 1010,507472 450981 ODIN Fonder ODIN Sverige NOK 2005-07-20 1,1768 1,1752 851,41 851,41 1001,939288 1000,577032 450981 ODIN Fonder ODIN Sverige NOK 2005-07-21 1,1863 1,1847 857,84 857,84 1017,655592 1016,283048 450981 ODIN Fonder ODIN Sverige NOK 2005-07-22 1,1868 1,1852 862,95 862,95 1024,14906 1022,76834 450981 ODIN Fonder ODIN Sverige NOK 2005-07-25 1,1863 1,1847 859,38 859,38 1019,482494 1018,107486 450981 ODIN Fonder ODIN Sverige NOK 2005-07-26 1,1913 1,1897 854,88 854,88 1018,418544 1017,050736 450981 ODIN Fonder ODIN Sverige NOK 2005-07-27 1,1978 1,1962 864,54 864,54 1035,546012 1034,162748 450981 ODIN Fonder ODIN Sverige NOK 2005-07-28 1,1928 1,1912 870,2 870,2 1037,97456 1036,58224 450981 ODIN Fonder ODIN Sverige NOK 2005-07-29 1,1883 1,1867 866,73 866,73 1029,935259 1028,548491 450981 ODIN Fonder ODIN Sverige NOK 2005-08-01 1,1963 1,1947 862,35 862,35 1031,629305 1030,249545 450981 ODIN Fonder ODIN Sverige NOK 2005-08-02 1,1983 1,1967 868,44 868,44 1040,651652 1039,262148 450981 ODIN Fonder ODIN Sverige NOK 2005-08-03 1,1933 1,1917 868,81 868,81 1036,750973 1035,360877 450981 ODIN Fonder ODIN Sverige NOK 2005-08-04 1,1933 1,1917 875,84 875,84 1045,139872 1043,738528 450981 ODIN Fonder ODIN Sverige NOK 2005-08-05 1,1873 1,1857 877,45 877,45 1041,796385 1040,392465 450981 ODIN Fonder ODIN Sverige NOK 2005-08-08 1,1783 1,1767 881,01 881,01 1038,094083 1036,684467 450981 ODIN Fonder ODIN Sverige NOK 2005-08-09 1,1818 1,1802 877,19 877,19 1036,663142 1035,259638 450981 ODIN Fonder ODIN Sverige NOK 2005-08-10 1,1843 1,1827 884,05 884,05 1046,980415 1045,565935 450981 ODIN Fonder ODIN Sverige NOK 2005-08-11 1,1828 1,1812 883,09 883,09 1044,518852 1043,105908 450981 ODIN Fonder ODIN Sverige NOK 2005-08-12 1,1793 1,1777 887,1 887,1 1046,15703 1044,73767 450981 ODIN Fonder ODIN Sverige NOK 2005-08-15 1,1768 1,1752 898,96 898,96 1057,896128 1056,457792 450981 ODIN Fonder ODIN Sverige NOK 2005-08-16 1,1653 1,1637 903,23 903,23 1052,533919 1051,088751 450981 ODIN Fonder ODIN Sverige NOK 2005-08-17 1,1773 1,1757 897,06 897,06 1056,108738 1054,673442 450981 ODIN Fonder ODIN Sverige NOK 2005-08-18 1,1773 1,1757 903,74 903,74 1063,973102 1062,527118 450981 ODIN Fonder ODIN Sverige NOK 2005-08-19 1,1748 1,1732 914,42 914,42 1074,260616 1072,797544 450981 ODIN Fonder ODIN Sverige NOK 2005-08-22 1,1728 1,1712 913,91 913,91 1071,833648 1070,371392 450981 ODIN Fonder ODIN Sverige NOK 2005-08-23 1,1708 1,1692 915,52 915,52 1071,890816 1070,425984 450981 ODIN Fonder ODIN Sverige NOK 2005-08-24 1,1743 1,1727 901,76 901,76 1058,936768 1057,493952 450981 ODIN Fonder ODIN Sverige NOK 2005-08-25 1,1768 1,1752 891,25 891,25 1048,823 1047,397 450981 ODIN Fonder ODIN Sverige NOK 2005-08-26 1,1773 1,1757 886,68 886,68 1043,888364 1042,469676 450981 ODIN Fonder ODIN Sverige NOK 2005-08-29 1,1798 1,1782 881,16 881,16 1039,592568 1038,182712 450981 ODIN Fonder ODIN Sverige NOK 2005-08-30 1,1793 1,1777 891,14 891,14 1050,921402 1049,495578 450981 ODIN Fonder ODIN Sverige NOK 2005-08-31 1,1848 1,1832 890,37 890,37 1054,910376 1053,485784 450981 ODIN Fonder ODIN Sverige NOK 2005-09-01 1,1888 1,1872 891,68 891,68 1060,029184 1058,602496 450981 ODIN Fonder ODIN Sverige NOK 2005-09-02 1,1948 1,1932 890,85 890,85 1064,38758 1062,96222 450981 ODIN Fonder ODIN Sverige NOK 2005-09-05 1,1903 1,1887 895,28 895,28 1065,651784 1064,219336 450981 ODIN Fonder ODIN Sverige NOK 2005-09-06 1,1898 1,1882 897,71 897,71 1068,095358 1066,659022 450981 ODIN Fonder ODIN Sverige NOK 2005-09-07 1,1938 1,1922 897,54 897,54 1071,483252 1070,047188 450981 ODIN Fonder ODIN Sverige NOK 2005-09-08 1,1988 1,1972 897,3 897,3 1075,68324 1074,24756 450981 ODIN Fonder ODIN Sverige NOK 2005-09-09 1,2008 1,1992 898,5 898,5 1078,9188 1077,4812 450981 ODIN Fonder ODIN Sverige NOK 2005-09-12 1,1953 1,1937 905,41 905,41 1082,236573 1080,787917 450981 ODIN Fonder ODIN Sverige NOK 2005-09-13 1,1938 1,1922 902,76 902,76 1077,714888 1076,270472 450981 ODIN Fonder ODIN Sverige NOK 2005-09-14 1,1953 1,1937 904,64 904,64 1081,316192 1079,868768 450981 ODIN Fonder ODIN Sverige NOK 2005-09-15 1,2003 1,1987 903,95 903,95 1085,011185 1083,564865 450981 ODIN Fonder ODIN Sverige NOK 2005-09-16 1,2008 1,1992 905,11 905,11 1086,856088 1085,407912 450981 ODIN Fonder ODIN Sverige NOK 2005-09-19 1,1973 1,1957 906,88 906,88 1085,807424 1084,356416 450981 ODIN Fonder ODIN Sverige NOK 2005-09-20 1,2018 1,2002 902,24 902,24 1084,312032 1082,868448 450981 ODIN Fonder ODIN Sverige NOK 2005-09-21 1,1988 1,1972 899,21 899,21 1077,972948 1076,534212 450981 ODIN Fonder ODIN Sverige NOK 2005-09-22 1,2018 1,2002 895,65 895,65 1076,39217 1074,95913 450981 ODIN Fonder ODIN Sverige NOK 2005-09-23 1,2043 1,2027 894,79 894,79 1077,595597 1076,163933 450981 ODIN Fonder ODIN Sverige NOK 2005-09-26 1,1993 1,1977 909,84 909,84 1091,171112 1089,715368 450981 ODIN Fonder ODIN Sverige NOK 2005-09-27 1,2003 1,1987 913,01 913,01 1095,885903 1094,425087 450981 ODIN Fonder ODIN Sverige NOK 2005-09-28 1,2013 1,1997 921,12 921,12 1106,541456 1105,067664 450981 ODIN Fonder ODIN Sverige NOK 2005-09-29 1,2023 1,2007 925,59 925,59 1112,836857 1111,355913 450981 ODIN Fonder ODIN Sverige NOK 2005-09-30 1,1918 1,1902 941,24 941,24 1121,769832 1120,263848 450981 ODIN Fonder ODIN Sverige NOK 2005-10-03 1,1798 1,1782 948,91 948,91 1119,524018 1118,005762 450981 ODIN Fonder ODIN Sverige NOK 2005-10-04 1,1838 1,1822 952,38 952,38 1127,427444 1125,903636 450981 ODIN Fonder ODIN Sverige NOK 2005-10-05 1,1788 1,1772 949,95 949,95 1119,80106 1118,28114 450981 ODIN Fonder ODIN Sverige NOK 2005-10-06 1,1798 1,1782 936,34 936,34 1104,693932 1103,195788 450981 ODIN Fonder ODIN Sverige NOK 2005-10-07 1,1828 1,1812 937,97 937,97 1109,430916 1107,930164 450981 ODIN Fonder ODIN Sverige NOK 2005-10-10 1,1808 1,1792 943,92 943,92 1114,580736 1113,070464 450981 ODIN Fonder ODIN Sverige NOK 2005-10-11 1,1898 1,1882 942,92 942,92 1121,886216 1120,377544 450981 ODIN Fonder ODIN Sverige NOK 2005-10-12 1,1918 1,1902 930,87 930,87 1109,410866 1107,921474 450981 ODIN Fonder ODIN Sverige NOK 2005-10-13 1,2023 1,2007 914,42 914,42 1099,407166 1097,944094 450981 ODIN Fonder ODIN Sverige NOK 2005-10-14 1,2028 1,2012 906,8 906,8 1090,69904 1089,24816 450981 ODIN Fonder ODIN Sverige NOK 2005-10-17 1,2118 1,2102 904,35 904,35 1095,89133 1094,44437 450981 ODIN Fonder ODIN Sverige NOK 2005-10-18 1,2118 1,2102 903,18 903,18 1094,473524 1093,028436 450981 ODIN Fonder ODIN Sverige NOK 2005-10-19 1,2103 1,2087 886,64 886,64 1073,100392 1071,681768 450981 ODIN Fonder ODIN Sverige NOK 2005-10-20 1,2173 1,2157 890,71 890,71 1084,261283 1082,836147 450981 ODIN Fonder ODIN Sverige NOK 2005-10-21 1,2183 1,2167 875,53 875,53 1066,658199 1065,257351 450981 ODIN Fonder ODIN Sverige NOK 2005-10-24 1,2243 1,2227 883,17 883,17 1081,265031 1079,851959 450981 ODIN Fonder ODIN Sverige NOK 2005-10-25 1,2203 1,2187 900,76 900,76 1099,197428 1097,756212 450981 ODIN Fonder ODIN Sverige NOK 2005-10-26 1,2148 1,2132 899,25 899,25 1092,4089 1090,9701 450981 ODIN Fonder ODIN Sverige NOK 2005-10-27 1,2228 1,2212 895,29 895,29 1094,760612 1093,328148 450981 ODIN Fonder ODIN Sverige NOK 2005-10-28 1,2188 1,2172 887,19 887,19 1081,307172 1079,887668 450981 ODIN Fonder ODIN Sverige NOK 2005-10-31 1,2233 1,2217 895,61 895,61 1095,599713 1094,166737 450981 ODIN Fonder ODIN Sverige NOK 2005-11-01 1,2273 1,2257 891,56 891,56 1094,211588 1092,785092 450981 ODIN Fonder ODIN Sverige NOK 2005-11-02 1,2338 1,2322 893,85 893,85 1102,83213 1101,40197 450981 ODIN Fonder ODIN Sverige NOK 2005-11-03 1,2398 1,2382 903,37 903,37 1119,998126 1118,552734 450981 ODIN Fonder ODIN Sverige NOK 2005-11-04 1,2308 1,2292 908,66 908,66 1118,378728 1116,924872 450981 ODIN Fonder ODIN Sverige NOK 2005-11-07 1,2348 1,2332 911,14 911,14 1125,075672 1123,617848 450981 ODIN Fonder ODIN Sverige NOK 2005-11-08 1,2298 1,2282 917,93 917,93 1128,870314 1127,401626 450981 ODIN Fonder ODIN Sverige NOK 2005-11-09 1,2278 1,2262 910,16 910,16 1117,494448 1116,038192 450981 ODIN Fonder ODIN Sverige NOK 2005-11-10 1,2428 1,2412 908,81 908,81 1129,469068 1128,014972 450981 ODIN Fonder ODIN Sverige NOK 2005-11-11 1,2453 1,2437 918,41 918,41 1143,695973 1142,226517 450981 ODIN Fonder ODIN Sverige NOK 2005-11-14 1,2323 1,2307 929,52 929,52 1145,447496 1143,960264 450981 ODIN Fonder ODIN Sverige NOK 2005-11-15 1,2293 1,2277 927,67 927,67 1140,384731 1138,900459 450981 ODIN Fonder ODIN Sverige NOK 2005-11-16 1,2298 1,2282 927,61 927,61 1140,774778 1139,290602 450981 ODIN Fonder ODIN Sverige NOK 2005-11-17 1,2318 1,2302 932,59 932,59 1148,764362 1147,272218 450981 ODIN Fonder ODIN Sverige NOK 2005-11-18 1,2233 1,2217 940,27 940,27 1150,232291 1148,727859 450981 ODIN Fonder ODIN Sverige NOK 2005-11-21 1,2168 1,2152 953,53 953,53 1160,255304 1158,729656 450981 ODIN Fonder ODIN Sverige NOK 2005-11-22 1,2143 1,2127 953,43 953,43 1157,750049 1156,224561 450981 ODIN Fonder ODIN Sverige NOK 2005-11-23 1,2093 1,2077 957,84 957,84 1158,315912 1156,783368 450981 ODIN Fonder ODIN Sverige NOK 2005-11-24 1,2083 1,2067 961,6 961,6 1161,90128 1160,36272 450981 ODIN Fonder ODIN Sverige NOK 2005-11-25 1,2028 1,2012 970,31 970,31 1167,088868 1165,536372 450981 ODIN Fonder ODIN Sverige NOK 2005-11-28 1,2068 1,2052 973,58 973,58 1174,916344 1173,358616 450981 ODIN Fonder ODIN Sverige NOK 2005-11-29 1,1968 1,1952 976 976 1168,0768 1166,5152 450981 ODIN Fonder ODIN Sverige NOK 2005-11-30 1,1983 1,1967 976,77 976,77 1170,463491 1168,900659 450981 ODIN Fonder ODIN Sverige NOK 2005-12-01 1,1963 1,1947 984,15 984,15 1177,338645 1175,764005 450981 ODIN Fonder ODIN Sverige NOK 2005-12-02 1,1993 1,1977 993,15 993,15 1191,084795 1189,495755 450981 ODIN Fonder ODIN Sverige NOK 2005-12-05 1,1908 1,1892 989,55 989,55 1178,35614 1176,77286 450981 ODIN Fonder ODIN Sverige NOK 2005-12-06 1,1948 1,1932 1004,83 1004,83 1200,570884 1198,963156 450981 ODIN Fonder ODIN Sverige NOK 2005-12-07 1,1833 1,1817 1020,29 1020,29 1207,309157 1205,676693 450981 ODIN Fonder ODIN Sverige NOK 2005-12-08 1,1848 1,1832 1014,8 1014,8 1202,33504 1200,71136 450981 ODIN Fonder ODIN Sverige NOK 2005-12-12 1,1888 1,1872 1022,09 1022,09 1215,060592 1213,425248 450981 ODIN Fonder ODIN Sverige NOK 2005-12-13 1,1853 1,1837 1025,38 1025,38 1215,382914 1213,742306 450981 ODIN Fonder ODIN Sverige NOK 2005-12-14 1,1888 1,1872 1020,95 1020,95 1213,70536 1212,07184 450981 ODIN Fonder ODIN Sverige NOK 2005-12-15 1,1868 1,1852 1022,93 1022,93 1214,013324 1212,376636 450981 ODIN Fonder ODIN Sverige NOK 2005-12-16 1,1943 1,1927 1025,42 1025,42 1224,659106 1223,018434 450981 ODIN Fonder ODIN Sverige NOK 2005-12-19 1,1818 1,1802 1039,07 1039,07 1227,972926 1226,310414 450981 ODIN Fonder ODIN Sverige NOK 2005-12-20 1,1728 1,1712 1047,07 1047,07 1228,003696 1226,328384 450981 ODIN Fonder ODIN Sverige NOK 2005-12-21 1,1728 1,1712 1056,82 1056,82 1239,438496 1237,747584 450981 ODIN Fonder ODIN Sverige NOK 2005-12-22 1,1778 1,1762 1058,74 1058,74 1246,983972 1245,289988 450981 ODIN Fonder ODIN Sverige NOK 2005-12-23 1,1738 1,1722 1063,27 1063,27 1248,066326 1246,365094 450981 ODIN Fonder ODIN Sverige NOK 2005-12-27 1,1833 1,1817 1074,97 1074,97 1272,012001 1270,292049 450981 ODIN Fonder ODIN Sverige NOK 2005-12-28 1,1763 1,1747 1080,17 1080,17 1270,603971 1268,875699 450981 ODIN Fonder ODIN Sverige NOK 2005-12-29 1,1718 1,1702 1084,94 1084,94 1271,332692 1269,596788 450981 ODIN Fonder ODIN Sverige NOK 2005-12-30 1,1768 1,1752 1081,26 1081,26 1272,426768 1270,696752 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-04 12,8005 12,7855 195,71 195,71 2505,185855 2502,250205 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-05 12,8355 12,8205 196,46 196,46 2521,66233 2518,71543 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-07 12,8955 12,8805 196,8 196,8 2537,8344 2534,8824 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-10 13,03576 13,02076 196,93 196,93 2567,1322168 2564,1782668 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-11 13,03576 13,02076 196,98 196,98 2567,7840048 2564,8293048 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-12 12,9275 12,9125 196,79 196,79 2544,002725 2541,050875 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-13 12,9275 12,9125 196,58 196,58 2541,28795 2538,33925 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-14 12,9175 12,9025 197,02 197,02 2545,00585 2542,05055 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-17 12,9455 12,9305 196,8 196,8 2547,6744 2544,7224 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-18 12,9175 12,9025 196,92 196,92 2543,7141 2540,7603 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-19 12,9275 12,9125 196,36 196,36 2538,4439 2535,4985 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-20 12,9955 12,9805 196,09 196,09 2548,287595 2545,346245 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-21 13,0555 13,0405 195,68 195,68 2554,70024 2551,76504 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-24 13,0525 13,0375 195,71 195,71 2554,504775 2551,569125 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-25 13,0575 13,0425 195,8 195,8 2556,6585 2553,7215 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-26 13,0755 13,0605 195,88 195,88 2561,22894 2558,29074 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-27 13,0475 13,0325 195,77 195,77 2554,309075 2551,372525 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-28 13,1705 13,1555 195,27 195,27 2571,803535 2568,874485 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-01-31 13,1875 13,1725 195,65 195,65 2580,134375 2577,199625 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-01 13,1555 13,1405 195,77 195,77 2575,452235 2572,515685 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-02 13,1025 13,0875 195,94 195,94 2567,30385 2564,36475 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-03 13,1225 13,1075 195,9 195,9 2570,69775 2567,75925 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-04 13,1855 13,1705 195,74 195,74 2580,92977 2577,99367 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-07 13,2305 13,2155 196,98 196,98 2606,14389 2603,18919 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-08 13,2175 13,2025 197,49 197,49 2610,324075 2607,361725 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-09 13,1775 13,1625 197,86 197,86 2607,30015 2604,33225 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-10 13,1855 13,1705 198,03 198,03 2611,124565 2608,154115 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-11 13,2155 13,2005 197,81 197,81 2614,158055 2611,190905 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-14 13,2175 13,2025 197,34 197,34 2608,34145 2605,38135 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-15 13,2175 13,2025 196,88 196,88 2602,2614 2599,3082 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-16 13,1905 13,1755 196,84 196,84 2596,41802 2593,46542 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-17 13,1605 13,1455 196,71 196,71 2588,801955 2585,851305 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-18 13,2005 13,1855 196,25 196,25 2590,598125 2587,654375 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-21 13,2475 13,2325 195,38 195,38 2588,29655 2585,36585 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-22 13,1575 13,1425 194,96 194,96 2565,1862 2562,2618 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-23 13,1405 13,1255 194,75 194,75 2559,112375 2556,191125 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-24 13,0725 13,0575 194,48 194,48 2542,3398 2539,4226 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-25 13,1575 13,1425 193,94 193,94 2551,76555 2548,85645 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-02-28 13,1325 13,1175 194,49 194,49 2554,139925 2551,222575 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-03-01 13,1855 13,1705 194,86 194,86 2569,32653 2566,40363 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-03-02 13,2105 13,1955 194,07 194,07 2563,761735 2560,850685 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-03-03 13,1875 13,1725 193,07 193,07 2546,110625 2543,214575 245092 Pictet & Cie (Europe) S.A. Pictet Fixed Income Fund - GBP Bonds GBP 2005-03-04 13,1505 13,1355 193,28 193,28 2541,72864 2538,82944 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-03 6,668 6,658 102,12 102,12 680,93616 679,91496 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-04 6,728 6,718 101,92 101,92 685,71776 684,69856 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-05 6,828 6,818 100,54 100,54 686,48712 685,48172 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-07 6,87 6,86 99,78 99,78 685,4886 684,4908 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-10 6,96091 6,95091 99,88 99,88 695,2556908 694,2568908 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-11 6,96091 6,95091 100,69 100,69 700,8940279 699,8871279 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-12 6,913 6,903 100,34 100,34 693,65042 692,64702 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-13 6,843 6,833 101,13 101,13 692,03259 691,02129 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-14 6,915 6,905 101,18 101,18 699,6597 698,6479 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-17 6,915 6,905 102,2 102,2 706,713 705,691 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-18 6,968 6,958 102,36 102,36 713,24448 712,22088 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-19 6,91 6,9 102,58 102,58 708,8278 707,802 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-20 6,96 6,95 101,9 101,9 709,224 708,205 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-21 6,978 6,968 101,48 101,48 708,12744 707,11264 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-24 6,933 6,923 101,59 101,59 704,32347 703,30757 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-25 6,95 6,94 101,57 101,57 705,9115 704,8958 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-26 6,995 6,985 102,9 102,9 719,7855 718,7565 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-27 6,93 6,92 103,39 103,39 716,4927 715,4588 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-28 6,985 6,975 103,82 103,82 725,1827 724,1445 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-01-31 6,998 6,988 104,52 104,52 731,43096 730,38576 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-01 6,993 6,983 103,84 103,84 726,15312 725,11472 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-02 6,953 6,943 104,01 104,01 723,18153 722,14143 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-03 6,968 6,958 104,29 104,29 726,69272 725,64982 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-04 7,01 7 104,73 104,73 734,1573 733,11 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-07 7,065 7,055 105,81 105,81 747,54765 746,48955 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-08 7,123 7,113 105,81 105,81 753,68463 752,62653 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-09 7,1 7,09 105,81 105,81 751,251 750,1929 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-10 7,088 7,078 105,81 105,81 749,98128 748,92318 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-14 7,03 7,02 107,32 107,32 754,4596 753,3864 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-15 7,005 6,995 107,54 107,54 753,3177 752,2423 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-16 6,973 6,963 107,94 107,94 752,66562 751,58622 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-17 6,97 6,96 107,91 107,91 752,1327 751,0536 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-18 6,965 6,955 108,77 108,77 757,58305 756,49535 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-21 6,978 6,968 109,38 109,38 763,25364 762,15984 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-22 6,905 6,895 109,66 109,66 757,2023 756,1057 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-23 6,895 6,885 108,72 108,72 749,6244 748,5372 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-24 6,858 6,848 109,71 109,71 752,39118 751,29408 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-25 6,885 6,875 110,16 110,16 758,4516 757,35 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-02-28 6,828 6,818 110,94 110,94 757,49832 756,38892 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-01 6,87 6,86 111,07 111,07 763,0509 761,9402 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-02 6,888 6,878 110,47 110,47 760,91736 759,81266 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-03 6,903 6,893 110,95 110,95 765,88785 764,77835 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-04 6,9 6,89 110,01 110,01 759,069 757,9689 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-07 6,84 6,83 109,92 109,92 751,8528 750,7536 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-08 6,825 6,815 109,57 109,57 747,81525 746,71955 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-09 6,76 6,75 110,43 110,43 746,5068 745,4025 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-10 6,745 6,735 109,79 109,79 740,53355 739,43565 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-11 6,765 6,755 110,76 110,76 749,2914 748,1838 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-14 6,76 6,75 109,65 109,65 741,234 740,1375 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-15 6,815 6,805 107,65 107,65 733,63475 732,55825 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-16 6,81 6,8 107,59 107,59 732,6879 731,612 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-17 6,795 6,785 107,15 107,15 728,08425 727,01275 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-18 6,828 6,818 106,01 106,01 723,83628 722,77618 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-21 6,908 6,898 105,93 105,93 731,76444 730,70514 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-22 6,928 6,918 105,57 105,57 731,38896 730,33326 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-23 6,973 6,963 104,57 104,57 729,16661 728,12091 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-24 7,008 6,998 103,16 103,16 722,94528 721,91368 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-29 7,055 7,045 102,38 102,38 722,2909 721,2671 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-30 7,053 7,043 101,96 101,96 719,12388 718,10428 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-03-31 7,065 7,055 103,42 103,42 730,6623 729,6281 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-01 7,07 7,06 105,06 105,06 742,7742 741,7236 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-04 7,113 7,103 104,45 104,45 742,95285 741,90835 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-06 7,125 7,115 105,14 105,14 749,1225 748,0711 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-07 7,083 7,073 104,95 104,95 743,36085 742,31135 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-08 7,153 7,143 105,34 105,34 753,49702 752,44362 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-11 7,098 7,088 104,92 104,92 744,72216 743,67296 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-12 7,048 7,038 104,58 104,58 737,07984 736,03404 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-13 7,075 7,065 105,14 105,14 743,8655 742,8141 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-14 7,12 7,11 103,57 103,57 737,4184 736,3827 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-15 7,17 7,16 102,13 102,13 732,2721 731,2508 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-18 7,08 7,07 99,59 99,59 705,0972 704,1013 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-19 7,068 7,058 100,5 100,5 710,334 709,329 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-20 7,043 7,033 101,12 101,12 712,18816 711,17696 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-21 7,025 7,015 101,4 101,4 712,335 711,321 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-22 7,023 7,013 101,81 101,81 715,01163 713,99353 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-25 7,04 7,03 102,32 102,32 720,3328 719,3096 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-26 7,035 7,025 102,97 102,97 724,39395 723,36425 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-27 7,085 7,075 102,02 102,02 722,8117 721,7915 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-28 7,085 7,075 102,09 102,09 723,30765 722,28675 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-04-29 7,08 7,07 102,09 102,09 722,7972 721,7763 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-03 7,178 7,168 102,12 102,12 733,01736 731,99616 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-04 7,11 7,1 102,75 102,75 730,5525 729,525 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-06 7,085 7,075 104,28 104,28 738,8238 737,781 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-09 7,168 7,158 104,16 104,16 746,61888 745,57728 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-10 7,178 7,168 103,82 103,82 745,21996 744,18176 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-11 7,15 7,14 103,07 103,07 736,9505 735,9198 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-12 7,243 7,233 102,93 102,93 745,52199 744,49269 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-13 7,265 7,255 102,76 102,76 746,5514 745,5238 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-17 7,313 7,303 101,98 101,98 745,77974 744,75994 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-18 7,3 7,29 101,84 101,84 743,432 742,4136 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-19 7,26 7,25 103,54 103,54 751,7004 750,665 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-20 7,28 7,27 103,48 103,48 753,3344 752,2996 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-23 7,32 7,31 103 103 753,96 752,93 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-24 7,295 7,285 103,65 103,65 756,12675 755,09025 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-25 7,298 7,288 102,71 102,71 749,57758 748,55048 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-26 7,33 7,32 102,76 102,76 753,2308 752,2032 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-27 7,338 7,328 103,96 103,96 762,85848 761,81888 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-30 7,338 7,328 104,61 104,61 767,62818 766,58208 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-05-31 7,403 7,393 104,52 104,52 773,76156 772,71636 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-01 7,428 7,418 104,04 104,04 772,80912 771,76872 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-02 7,473 7,463 104,31 104,31 779,50863 778,46553 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-03 7,438 7,428 105 105 780,99 779,94 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-07 7,448 7,438 104,92 104,92 781,44416 780,39496 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-08 7,435 7,425 105,44 105,44 783,9464 782,892 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-09 7,523 7,513 105,95 105,95 797,06185 796,00235 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-10 7,525 7,515 106,26 106,26 799,6065 798,5439 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-13 7,643 7,633 106,21 106,21 811,76303 810,70093 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-14 7,663 7,653 105,73 105,73 810,20899 809,15169 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-15 7,693 7,683 106,86 106,86 822,07398 821,00538 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-16 7,678 7,668 107,05 107,05 821,9299 820,8594 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-17 7,643 7,633 107,53 107,53 821,85179 820,77649 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-20 7,543 7,533 107,23 107,23 808,83589 807,76359 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-21 7,648 7,638 106,53 106,53 814,74144 813,67614 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-22 7,608 7,598 108,15 108,15 822,8052 821,7237 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-27 7,73 7,72 107,48 107,48 830,8204 829,7456 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-28 7,76 7,75 107,25 107,25 832,26 831,1875 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-29 7,833 7,823 106,56 106,56 834,68448 833,61888 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-06-30 7,823 7,813 107,01 107,01 837,13923 836,06913 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-01 7,858 7,848 107,25 107,25 842,7705 841,698 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-04 7,945 7,935 106,85 106,85 848,92325 847,85475 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-05 7,963 7,953 105,63 105,63 841,13169 840,07539 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-06 7,895 7,885 105,82 105,82 835,4489 834,3907 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-07 7,878 7,868 105,46 105,46 830,81388 829,75928 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-08 7,913 7,903 105,07 105,07 831,41891 830,36821 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-11 7,89 7,88 107,16 107,16 845,4924 844,4208 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-12 7,77 7,76 107,78 107,78 837,4506 836,3728 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-13 7,703 7,693 108,87 108,87 838,62561 837,53691 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-14 7,76 7,75 110,53 110,53 857,7128 856,6075 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-15 7,76 7,75 109,87 109,87 852,5912 851,4925 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-18 7,78 7,77 110,52 110,52 859,8456 858,7404 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-19 7,878 7,868 111,05 111,05 874,8519 873,7414 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-20 7,818 7,808 111,21 111,21 869,43978 868,32768 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-21 7,775 7,765 111,38 111,38 865,9795 864,8657 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-22 7,758 7,748 112,51 112,51 872,85258 871,72748 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-25 7,838 7,828 112,98 112,98 885,53724 884,40744 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-26 7,818 7,808 112,69 112,69 881,01042 879,88352 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-27 7,905 7,895 112,69 112,69 890,81445 889,68755 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-28 7,848 7,838 113,29 113,29 889,09992 887,96702 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-07-29 7,748 7,738 113,99 113,99 883,19452 882,05462 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-01 7,72 7,71 114,78 114,78 886,1016 884,9538 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-02 7,7 7,69 115,93 115,93 892,661 891,5017 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-03 7,685 7,675 116,25 116,25 893,38125 892,21875 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-04 7,618 7,608 115,4 115,4 879,1172 877,9632 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-05 7,548 7,538 114,29 114,29 862,66092 861,51802 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-08 7,558 7,548 113,43 113,43 857,30394 856,16964 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-09 7,548 7,538 113,98 113,98 860,32104 859,18124 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-10 7,558 7,548 114,88 114,88 868,26304 867,11424 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-11 7,523 7,513 115,78 115,78 871,01294 869,85514 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-12 7,46 7,45 116,23 116,23 867,0758 865,9135 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-16 7,523 7,513 114,49 114,49 861,30827 860,16337 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-17 7,605 7,595 114,44 114,44 870,3162 869,1718 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-18 7,61 7,6 112,68 112,68 857,4948 856,368 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-19 7,698 7,688 111,91 111,91 861,48318 860,36408 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-22 7,69 7,68 113,66 113,66 874,0454 872,9088 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-23 7,663 7,653 112,86 112,86 864,84618 863,71758 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-24 7,673 7,663 111,02 111,02 851,85646 850,74626 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-25 7,588 7,578 111,6 111,6 846,8208 845,7048 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-26 7,578 7,568 111,31 111,31 843,50718 842,39408 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-29 7,573 7,563 108,92 108,92 824,85116 823,76196 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-30 7,633 7,623 109,7 109,7 837,3401 836,2431 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-08-31 7,668 7,658 109,94 109,94 843,01992 841,92052 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-01 7,568 7,558 111,69 111,69 845,26992 844,15302 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-02 7,435 7,425 113,2 113,2 841,642 840,51 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-05 7,41 7,4 113,1 113,1 838,071 836,94 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-06 7,485 7,475 113,11 113,11 846,62835 845,49725 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-07 7,43 7,42 113,82 113,82 845,6826 844,5444 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-08 7,498 7,488 113,63 113,63 851,99774 850,86144 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-09 7,523 7,513 113,91 113,91 856,94493 855,80583 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-12 7,555 7,545 115,03 115,03 869,05165 867,90135 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-13 7,57 7,56 114,55 114,55 867,1435 865,998 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-14 7,61 7,6 115,5 115,5 878,955 877,8 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-15 7,658 7,648 115,05 115,05 881,0529 879,9024 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-16 7,613 7,603 114,71 114,71 873,28723 872,14013 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-20 7,688 7,678 115,91 115,91 891,11608 889,95698 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-21 7,663 7,653 115,8 115,8 887,3754 886,2174 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-22 7,648 7,638 115,59 115,59 884,03232 882,87642 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-23 7,733 7,723 113,99 113,99 881,48467 880,34477 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-26 7,798 7,788 115,61 115,61 901,52678 900,37068 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-27 7,825 7,815 115,66 115,66 905,0395 903,8829 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-28 7,81 7,8 116,37 116,37 908,8497 907,686 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-29 7,785 7,775 117,07 117,07 911,38995 910,21925 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-09-30 7,785 7,775 116,88 116,88 909,9108 908,742 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-03 7,783 7,773 116,98 116,98 910,45534 909,28554 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-04 7,82 7,81 117,96 117,96 922,4472 921,2676 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-05 7,795 7,785 116,99 116,99 911,93705 910,76715 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-06 7,713 7,703 114,72 114,72 884,83536 883,68816 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-07 7,683 7,673 114,99 114,99 883,46817 882,31827 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-10 7,698 7,688 116,17 116,17 894,27666 893,11496 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-11 7,77 7,76 116,78 116,78 907,3806 906,2128 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-12 7,805 7,795 114,41 114,41 892,97005 891,82595 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-13 7,83 7,82 112,79 112,79 883,1457 882,0178 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-14 7,833 7,823 112,36 112,36 880,11588 878,99228 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-17 7,835 7,825 111,05 111,05 870,07675 868,96625 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-18 7,893 7,883 111,31 111,31 878,56983 877,45673 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-19 7,96 7,95 108,18 108,18 861,1128 860,031 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-20 7,93 7,92 108,89 108,89 863,4977 862,4088 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-21 7,883 7,873 110,24 110,24 869,02192 867,91952 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-24 7,995 7,985 109,58 109,58 876,0921 874,9963 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-25 7,99 7,98 109,45 109,45 874,5055 873,411 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-26 7,868 7,858 109,59 109,59 862,25412 861,15822 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-27 7,868 7,858 108,72 108,72 855,40896 854,32176 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-28 7,825 7,815 107,42 107,42 840,5615 839,4873 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-10-31 7,905 7,895 109,43 109,43 865,04415 863,94985 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-02 7,98 7,97 112,08 112,08 894,3984 893,2776 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-03 8,01 8 112,44 112,44 900,6444 899,52 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-04 8,028 8,018 112,28 112,28 901,38384 900,26104 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-07 8,135 8,125 111,49 111,49 906,97115 905,85625 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-08 8,17 8,16 111,94 111,94 914,5498 913,4304 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-09 8,12 8,11 112,82 112,82 916,0984 914,9702 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-10 8,173 8,163 112,98 112,98 923,38554 922,25574 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-11 8,235 8,225 114,68 114,68 944,3898 943,243 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-14 8,133 8,123 115,03 115,03 935,53899 934,38869 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-15 8,185 8,175 114,69 114,69 938,73765 937,59075 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-16 8,21 8,2 115,06 115,06 944,6426 943,492 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-17 8,258 8,248 115,34 115,34 952,47772 951,32432 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-18 8,223 8,213 116,52 116,52 958,14396 956,97876 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-21 8,123 8,113 116,34 116,34 945,02982 943,86642 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-22 8,15 8,14 114,85 114,85 936,0275 934,879 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-23 8,048 8,038 117,73 117,73 947,49104 946,31374 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-24 8,053 8,043 118,06 118,06 950,73718 949,55658 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-25 8,078 8,068 118,08 118,08 953,85024 952,66944 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-28 8,118 8,108 118,54 118,54 962,30772 961,12232 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-29 8,015 8,005 117,44 117,44 941,2816 940,1072 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-11-30 8,088 8,078 118,61 118,61 959,31768 958,13158 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-01 8,083 8,073 118,92 118,92 961,23036 960,04116 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-02 8,103 8,093 119,56 119,56 968,79468 967,59908 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-05 8,045 8,035 120,53 120,53 969,66385 968,45855 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-06 7,993 7,983 120,92 120,92 966,51356 965,30436 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-07 8,015 8,005 121,25 121,25 971,81875 970,60625 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-08 7,988 7,978 120,46 120,46 962,23448 961,02988 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-12 7,953 7,943 121,48 121,48 966,13044 964,91564 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-13 7,905 7,895 122,15 122,15 965,59575 964,37425 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-14 7,848 7,838 122,48 122,48 961,22304 959,99824 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-15 7,858 7,848 122,75 122,75 964,5695 963,342 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-16 7,903 7,893 122,55 122,55 968,51265 967,28715 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-19 7,865 7,855 123,99 123,99 975,18135 973,94145 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-20 7,848 7,838 123,56 123,56 969,69888 968,46328 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-21 7,948 7,938 124,46 124,46 989,20808 987,96348 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-22 7,98 7,97 123,82 123,82 988,0836 986,8454 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-23 7,955 7,945 125,15 125,15 995,56825 994,31675 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-27 8,01 8 125,58 125,58 1005,8958 1004,64 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-28 7,915 7,905 125,53 125,53 993,56995 992,31465 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-29 7,938 7,928 126,94 126,94 1007,64972 1006,38032 917955 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Asia Equities (Ex Japan) USD 2005-12-30 7,958 7,948 127,13 127,13 1011,70054 1010,42924 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-03 6,668 6,658 222,89 222,89 1486,23052 1484,00162 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-04 6,728 6,718 220,69 220,69 1484,80232 1482,59542 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-05 6,828 6,818 215,92 215,92 1474,30176 1472,14256 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-07 6,87 6,86 217,94 217,94 1497,2478 1495,0684 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-10 6,96091 6,95091 217,07 217,07 1511,0047337 1508,8340337 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-11 6,96091 6,95091 218,38 218,38 1520,1235258 1517,9397258 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-12 6,913 6,903 215,4 215,4 1489,0602 1486,9062 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-13 6,843 6,833 216,91 216,91 1484,31513 1482,14603 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-14 6,915 6,905 212,22 212,22 1467,5013 1465,3791 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-17 6,915 6,905 214,04 214,04 1480,0866 1477,9462 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-19 6,91 6,9 216,57 216,57 1496,4987 1494,333 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-20 6,96 6,95 214,27 214,27 1491,3192 1489,1765 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-21 6,978 6,968 212,43 212,43 1482,33654 1480,21224 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-24 6,933 6,923 210,32 210,32 1458,14856 1456,04536 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-25 6,95 6,94 206,98 206,98 1438,511 1436,4412 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-26 6,995 6,985 207,48 207,48 1451,3226 1449,2478 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-27 6,93 6,92 211,21 211,21 1463,6853 1461,5732 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-28 6,985 6,975 211,18 211,18 1475,0923 1472,9805 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-01-31 6,998 6,988 209,25 209,25 1464,3315 1462,239 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-01 6,993 6,983 211,29 211,29 1477,55097 1475,43807 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-02 6,953 6,943 212,34 212,34 1476,40002 1474,27662 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-03 6,968 6,958 211,79 211,79 1475,75272 1473,63482 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-04 7,01 7 210,71 210,71 1477,0771 1474,97 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-07 7,065 7,055 214,99 214,99 1518,90435 1516,75445 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-08 7,123 7,113 213,72 213,72 1522,32756 1520,19036 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-09 7,1 7,09 212,68 212,68 1510,028 1507,9012 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-10 7,088 7,078 207,39 207,39 1469,98032 1467,90642 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-11 7,068 7,058 207,85 207,85 1469,0838 1467,0053 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-14 7,03 7,02 211,88 211,88 1489,5164 1487,3976 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-15 7,005 6,995 210,72 210,72 1476,0936 1473,9864 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-16 6,973 6,963 211,51 211,51 1474,85923 1472,74413 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-17 6,97 6,96 211,7 211,7 1475,549 1473,432 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-18 6,965 6,955 210,79 210,79 1468,15235 1466,04445 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-21 6,978 6,968 210,37 210,37 1467,96186 1465,85816 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-23 6,895 6,885 207,39 207,39 1429,95405 1427,88015 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-24 6,858 6,848 209,22 209,22 1434,83076 1432,73856 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-25 6,885 6,875 210,96 210,96 1452,4596 1450,35 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-02-28 6,828 6,818 213,47 213,47 1457,57316 1455,43846 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-01 6,87 6,86 206,57 206,57 1419,1359 1417,0702 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-02 6,888 6,878 207,73 207,73 1430,84424 1428,76694 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-03 6,903 6,893 207,95 207,95 1435,47885 1433,39935 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-04 6,9 6,89 206,22 206,22 1422,918 1420,8558 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-07 6,84 6,83 203,99 203,99 1395,2916 1393,2517 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-08 6,825 6,815 205,09 205,09 1399,73925 1397,68835 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-09 6,76 6,75 203,37 203,37 1374,7812 1372,7475 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-10 6,745 6,735 201,4 201,4 1358,443 1356,429 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-11 6,765 6,755 202,09 202,09 1367,13885 1365,11795 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-14 6,76 6,75 201,14 201,14 1359,7064 1357,695 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-15 6,815 6,805 208,72 208,72 1422,4268 1420,3396 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-16 6,81 6,8 205,98 205,98 1402,7238 1400,664 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-17 6,795 6,785 204,26 204,26 1387,9467 1385,9041 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-18 6,828 6,818 205,71 205,71 1404,58788 1402,53078 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-21 6,908 6,898 206,11 206,11 1423,80788 1421,74678 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-22 6,928 6,918 205,62 205,62 1424,53536 1422,47916 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-23 6,973 6,963 204,92 204,92 1428,90716 1426,85796 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-24 7,008 6,998 205,52 205,52 1440,28416 1438,22896 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-29 7,055 7,045 201,4 201,4 1420,877 1418,863 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-30 7,053 7,043 198,23 198,23 1398,11619 1396,13389 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-03-31 7,065 7,055 200,34 200,34 1415,4021 1413,3987 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-01 7,07 7,06 199,94 199,94 1413,5758 1411,5764 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-04 7,113 7,103 197,1 197,1 1401,9723 1400,0013 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-05 7,163 7,153 196,02 196,02 1404,09126 1402,13106 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-06 7,125 7,115 198,63 198,63 1415,23875 1413,25245 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-07 7,083 7,073 202,67 202,67 1435,51161 1433,48491 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-08 7,153 7,143 206,73 206,73 1478,73969 1476,67239 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-11 7,098 7,088 204,6 204,6 1452,2508 1450,2048 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-12 7,048 7,038 205,24 205,24 1446,53152 1444,47912 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-13 7,075 7,065 207,5 207,5 1468,0625 1465,9875 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-14 7,12 7,11 204,84 204,84 1458,4608 1456,4124 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-15 7,17 7,16 202,3 202,3 1450,491 1448,468 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-18 7,08 7,07 203,66 203,66 1441,9128 1439,8762 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-19 7,068 7,058 201,96 201,96 1427,45328 1425,43368 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-20 7,043 7,033 203,96 203,96 1436,49028 1434,45068 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-21 7,025 7,015 202,41 202,41 1421,93025 1419,90615 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-22 7,023 7,013 207,16 207,16 1454,88468 1452,81308 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-25 7,04 7,03 206,14 206,14 1451,2256 1449,1642 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-26 7,035 7,025 206,46 206,46 1452,4461 1450,3815 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-27 7,085 7,075 206,37 206,37 1462,13145 1460,06775 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-28 7,085 7,075 205,42 205,42 1455,4007 1453,3465 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-04-29 7,08 7,07 199,81 199,81 1414,6548 1412,6567 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-02 7,15 7,14 199,58 199,58 1426,997 1425,0012 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-03 7,178 7,168 200,04 200,04 1435,88712 1433,88672 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-04 7,11 7,1 201,32 201,32 1431,3852 1429,372 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-06 7,085 7,075 204,6 204,6 1449,591 1447,545 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-09 7,168 7,158 204,79 204,79 1467,93472 1465,88682 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-10 7,178 7,168 206,9 206,9 1485,1282 1483,0592 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-11 7,15 7,14 209,49 209,49 1497,8535 1495,7586 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-12 7,243 7,233 210,48 210,48 1524,50664 1522,40184 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-13 7,265 7,255 209,88 209,88 1524,7782 1522,6794 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-17 7,313 7,303 208,71 208,71 1526,29623 1524,20913 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-18 7,3 7,29 207,49 207,49 1514,677 1512,6021 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-19 7,26 7,25 208,87 208,87 1516,3962 1514,3075 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-20 7,28 7,27 210,03 210,03 1529,0184 1526,9181 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-23 7,32 7,31 209,11 209,11 1530,6852 1528,5941 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-24 7,295 7,285 209,74 209,74 1530,0533 1527,9559 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-25 7,298 7,288 210,38 210,38 1535,35324 1533,24944 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-26 7,33 7,32 207,61 207,61 1521,7813 1519,7052 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-27 7,338 7,328 209,12 209,12 1534,52256 1532,43136 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-30 7,338 7,328 210,6 210,6 1545,3828 1543,2768 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-05-31 7,403 7,393 210,6 210,6 1559,0718 1556,9658 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-01 7,428 7,418 207,91 207,91 1544,35548 1542,27638 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-02 7,473 7,463 209,5 209,5 1565,5935 1563,4985 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-03 7,438 7,428 209,38 209,38 1557,36844 1555,27464 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-07 7,448 7,438 202,94 202,94 1511,49712 1509,46772 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-08 7,435 7,425 201,52 201,52 1498,3012 1496,286 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-09 7,523 7,513 201,47 201,47 1515,65881 1513,64411 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-10 7,525 7,515 204,28 204,28 1537,207 1535,1642 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-13 7,643 7,633 204,19 204,19 1560,62417 1558,58227 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-14 7,663 7,653 206,18 206,18 1579,95734 1577,89554 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-15 7,693 7,683 207,23 207,23 1594,22039 1592,14809 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-16 7,678 7,668 207,34 207,34 1591,95652 1589,88312 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-17 7,643 7,633 214,96 214,96 1642,93928 1640,78968 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-20 7,543 7,533 218,19 218,19 1645,80717 1643,62527 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-21 7,648 7,638 218,82 218,82 1673,53536 1671,34716 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-22 7,608 7,598 216,76 216,76 1649,11008 1646,94248 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-27 7,73 7,72 215,26 215,26 1663,9598 1661,8072 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-28 7,76 7,75 214,13 214,13 1661,6488 1659,5075 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-29 7,833 7,823 217,52 217,52 1703,83416 1701,65896 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-06-30 7,823 7,813 217,61 217,61 1702,36303 1700,18693 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-01 7,858 7,848 216,54 216,54 1701,57132 1699,40592 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-04 7,945 7,935 216,85 216,85 1722,87325 1720,70475 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-06 7,895 7,885 218,96 218,96 1728,6892 1726,4996 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-07 7,878 7,868 219,44 219,44 1728,74832 1726,55392 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-08 7,913 7,903 221,93 221,93 1756,13209 1753,91279 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-11 7,89 7,88 229,65 229,65 1811,9385 1809,642 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-12 7,77 7,76 230,56 230,56 1791,4512 1789,1456 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-13 7,703 7,693 230,45 230,45 1775,15635 1772,85185 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-14 7,76 7,75 228,91 228,91 1776,3416 1774,0525 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-15 7,76 7,75 232,22 232,22 1802,0272 1799,705 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-18 7,78 7,77 235,2 235,2 1829,856 1827,504 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-19 7,878 7,868 234,06 234,06 1843,92468 1841,58408 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-20 7,818 7,808 234,01 234,01 1829,49018 1827,15008 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-21 7,775 7,765 242,54 242,54 1885,7485 1883,3231 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-22 7,758 7,748 241,97 241,97 1877,20326 1874,78356 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-25 7,838 7,828 237,65 237,65 1862,7007 1860,3242 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-26 7,818 7,808 232,87 232,87 1820,57766 1818,24896 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-27 7,905 7,895 235,74 235,74 1863,5247 1861,1673 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-28 7,848 7,838 235,48 235,48 1848,04704 1845,69224 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-07-29 7,748 7,738 237,48 237,48 1839,99504 1837,62024 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-01 7,72 7,71 236,31 236,31 1824,3132 1821,9501 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-02 7,7 7,69 239,61 239,61 1844,997 1842,6009 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-03 7,685 7,675 241,98 241,98 1859,6163 1857,1965 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-04 7,618 7,608 242,52 242,52 1847,51736 1845,09216 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-05 7,548 7,538 236,25 236,25 1783,215 1780,8525 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-08 7,558 7,548 233,23 233,23 1762,75234 1760,42004 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-09 7,548 7,538 229,41 229,41 1731,58668 1729,29258 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-10 7,558 7,548 231,08 231,08 1746,50264 1744,19184 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-11 7,523 7,513 230,87 230,87 1736,83501 1734,52631 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-12 7,46 7,45 233,15 233,15 1739,299 1736,9675 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-16 7,523 7,513 233,36 233,36 1755,56728 1753,23368 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-17 7,605 7,595 231,27 231,27 1758,80835 1756,49565 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-18 7,61 7,6 230,71 230,71 1755,7031 1753,396 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-19 7,698 7,688 231,21 231,21 1779,85458 1777,54248 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-22 7,69 7,68 232,8 232,8 1790,232 1787,904 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-23 7,663 7,653 232,66 232,66 1782,87358 1780,54698 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-24 7,673 7,663 236,54 236,54 1814,97142 1812,60602 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-25 7,588 7,578 236,29 236,29 1792,96852 1790,60562 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-26 7,578 7,568 236,89 236,89 1795,15242 1792,78352 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-29 7,573 7,563 235,69 235,69 1784,88037 1782,52347 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-30 7,633 7,623 239,87 239,87 1830,92771 1828,52901 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-08-31 7,668 7,658 238,31 238,31 1827,36108 1824,97798 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-01 7,568 7,558 242,15 242,15 1832,5912 1830,1697 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-02 7,435 7,425 245,46 245,46 1824,9951 1822,5405 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-05 7,41 7,4 242,53 242,53 1797,1473 1794,722 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-07 7,43 7,42 247,43 247,43 1838,4049 1835,9306 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-08 7,498 7,488 248,51 248,51 1863,32798 1860,84288 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-09 7,523 7,513 246,71 246,71 1855,99933 1853,53223 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-12 7,555 7,545 247,29 247,29 1868,27595 1865,80305 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-13 7,57 7,56 248,58 248,58 1881,7506 1879,2648 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-14 7,61 7,6 246,36 246,36 1874,7996 1872,336 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-15 7,658 7,648 244,02 244,02 1868,70516 1866,26496 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-16 7,613 7,603 244,66 244,66 1862,59658 1860,14998 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-19 7,698 7,688 246,08 246,08 1894,32384 1891,86304 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-20 7,688 7,678 245,16 245,16 1884,79008 1882,33848 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-21 7,663 7,653 244,64 244,64 1874,67632 1872,22992 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-22 7,648 7,638 240,82 240,82 1841,79136 1839,38316 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-23 7,733 7,723 239,87 239,87 1854,91471 1852,51601 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-26 7,798 7,788 240,29 240,29 1873,78142 1871,37852 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-27 7,825 7,815 241,75 241,75 1891,69375 1889,27625 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-28 7,81 7,8 241,21 241,21 1883,8501 1881,438 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-29 7,785 7,775 241,7 241,7 1881,6345 1879,2175 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-09-30 7,785 7,775 244,4 244,4 1902,654 1900,21 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-03 7,783 7,773 247,55 247,55 1926,68165 1924,20615 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-04 7,82 7,81 250,25 250,25 1956,955 1954,4525 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-05 7,795 7,785 249,48 249,48 1944,6966 1942,2018 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-06 7,713 7,703 240,67 240,67 1856,28771 1853,88101 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-07 7,683 7,673 232,55 232,55 1786,68165 1784,35615 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-10 7,698 7,688 233,65 233,65 1798,6377 1796,3012 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-12 7,805 7,795 227,47 227,47 1775,40335 1773,12865 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-13 7,83 7,82 223,58 223,58 1750,6314 1748,3956 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-14 7,833 7,823 227,63 227,63 1783,02579 1780,74949 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-17 7,835 7,825 233,87 233,87 1832,37145 1830,03275 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-18 7,893 7,883 232,89 232,89 1838,20077 1835,87187 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-19 7,96 7,95 231,34 231,34 1841,4664 1839,153 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-20 7,93 7,92 234,16 234,16 1856,8888 1854,5472 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-21 7,883 7,873 230,63 230,63 1818,05629 1815,74999 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-24 7,995 7,985 229,84 229,84 1837,5708 1835,2724 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-25 7,99 7,98 235,89 235,89 1884,7611 1882,4022 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-26 7,868 7,858 237,48 237,48 1868,49264 1866,11784 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-27 7,868 7,858 235,76 235,76 1854,95968 1852,60208 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-28 7,825 7,815 230,63 230,63 1804,67975 1802,37345 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-10-31 7,905 7,895 231,57 231,57 1830,56085 1828,24515 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-02 7,98 7,97 231,7 231,7 1848,966 1846,649 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-03 8,01 8 235,48 235,48 1886,1948 1883,84 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-04 8,028 8,018 239,11 239,11 1919,57508 1917,18398 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-07 8,135 8,125 241,18 241,18 1961,9993 1959,5875 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-08 8,17 8,16 240,88 240,88 1967,9896 1965,5808 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-09 8,12 8,11 241,57 241,57 1961,5484 1959,1327 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-10 8,173 8,163 242,97 242,97 1985,79381 1983,36411 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-11 8,235 8,225 245,53 245,53 2021,93955 2019,48425 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-14 8,133 8,123 245,96 245,96 2000,39268 1997,93308 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-15 8,185 8,175 244,86 244,86 2004,1791 2001,7305 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-16 8,21 8,2 244,1 244,1 2004,061 2001,62 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-17 8,258 8,248 244,67 244,67 2020,48486 2018,03816 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-18 8,223 8,213 247,35 247,35 2033,95905 2031,48555 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-21 8,123 8,113 249,33 249,33 2025,30759 2022,81429 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-22 8,15 8,14 252,16 252,16 2055,104 2052,5824 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-23 8,048 8,038 252,75 252,75 2034,132 2031,6045 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-24 8,053 8,043 249,91 249,91 2012,52523 2010,02613 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-28 8,118 8,108 248,87 248,87 2020,32666 2017,83796 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-29 8,015 8,005 243,42 243,42 1951,0113 1948,5771 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-11-30 8,088 8,078 241,16 241,16 1950,50208 1948,09048 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-01 8,083 8,073 242,67 242,67 1961,50161 1959,07491 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-02 8,103 8,093 245,14 245,14 1986,36942 1983,91802 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-05 8,045 8,035 244,51 244,51 1967,08295 1964,63785 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-06 7,993 7,983 245,47 245,47 1962,04171 1959,58701 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-07 8,015 8,005 243,06 243,06 1948,1259 1945,6953 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-08 7,988 7,978 242,94 242,94 1940,60472 1938,17532 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-12 7,953 7,943 244,26 244,26 1942,59978 1940,15718 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-13 7,905 7,895 244,23 244,23 1930,63815 1928,19585 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-14 7,848 7,838 246,34 246,34 1933,27632 1930,81292 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-15 7,858 7,848 244,11 244,11 1918,21638 1915,77528 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-16 7,903 7,893 245,62 245,62 1941,13486 1938,67866 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-19 7,865 7,855 244,45 244,45 1922,59925 1920,15475 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-20 7,848 7,838 241,15 241,15 1892,5452 1890,1337 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-21 7,948 7,938 242,67 242,67 1928,74116 1926,31446 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-22 7,98 7,97 246,76 246,76 1969,1448 1966,6772 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-23 7,955 7,945 250,02 250,02 1988,9091 1986,4089 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-27 8,01 8 250,61 250,61 2007,3861 2004,88 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-28 7,915 7,905 248,29 248,29 1965,21535 1962,73245 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-29 7,938 7,928 248,88 248,88 1975,60944 1973,12064 260919 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Biotech USD 2005-12-30 7,958 7,948 248,3 248,3 1975,9714 1973,4884 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-03 6,668 6,658 166,13 166,13 1107,75484 1106,09354 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-04 6,728 6,718 165 165 1110,12 1108,47 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-05 6,828 6,818 159,13 159,13 1086,53964 1084,94834 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-07 6,87 6,86 157,48 157,48 1081,8876 1080,3128 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-10 6,96091 6,95091 154,79 154,79 1077,4792589 1075,9313589 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-11 6,96091 6,95091 152,91 152,91 1064,3927481 1062,8636481 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-12 6,913 6,903 149,95 149,95 1036,60435 1035,10485 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-13 6,843 6,833 152,9 152,9 1046,2947 1044,7657 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-14 6,915 6,905 151,4 151,4 1046,931 1045,417 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-17 6,915 6,905 151,59 151,59 1048,24485 1046,72895 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-18 6,968 6,958 151,05 151,05 1052,5164 1051,0059 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-19 6,91 6,9 150,12 150,12 1037,3292 1035,828 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-20 6,96 6,95 150,2 150,2 1045,392 1043,89 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-24 6,933 6,923 148,85 148,85 1031,97705 1030,48855 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-25 6,95 6,94 150,17 150,17 1043,6815 1042,1798 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-26 6,995 6,985 150,17 150,17 1050,43915 1048,93745 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-27 6,93 6,92 151,87 151,87 1052,4591 1050,9404 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-28 6,985 6,975 155,77 155,77 1088,05345 1086,49575 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-01-31 6,998 6,988 158,95 158,95 1112,3321 1110,7426 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-01 6,993 6,983 159,64 159,64 1116,36252 1114,76612 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-02 6,953 6,943 160,29 160,29 1114,49637 1112,89347 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-03 6,968 6,958 162,42 162,42 1131,74256 1130,11836 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-04 7,01 7 162,34 162,34 1138,0034 1136,38 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-07 7,065 7,055 160,37 160,37 1133,01405 1131,41035 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-08 7,123 7,113 159,76 159,76 1137,97048 1136,37288 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-09 7,1 7,09 160,67 160,67 1140,757 1139,1503 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-10 7,088 7,078 160,21 160,21 1135,56848 1133,96638 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-11 7,068 7,058 161,08 161,08 1138,51344 1136,90264 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-14 7,03 7,02 162,79 162,79 1144,4137 1142,7858 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-15 7,005 6,995 161,55 161,55 1131,65775 1130,04225 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-16 6,973 6,963 160,11 160,11 1116,44703 1114,84593 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-17 6,97 6,96 159,66 159,66 1112,8302 1111,2336 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-18 6,965 6,955 159,02 159,02 1107,5743 1105,9841 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-21 6,978 6,968 157,85 157,85 1101,4773 1099,8988 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-22 6,905 6,895 159,08 159,08 1098,4474 1096,8566 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-23 6,895 6,885 159,08 159,08 1096,8566 1095,2658 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-24 6,858 6,848 159,32 159,32 1092,61656 1091,02336 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-25 6,885 6,875 159,12 159,12 1095,5412 1093,95 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-02-28 6,828 6,818 162,13 162,13 1107,02364 1105,40234 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-01 6,87 6,86 160,95 160,95 1105,7265 1104,117 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-02 6,888 6,878 161,15 161,15 1110,0012 1108,3897 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-03 6,903 6,893 163,53 163,53 1128,84759 1127,21229 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-04 6,9 6,89 165,09 165,09 1139,121 1137,4701 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-07 6,84 6,83 165,61 165,61 1132,7724 1131,1163 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-08 6,825 6,815 165,61 165,61 1130,28825 1128,63215 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-09 6,76 6,75 166,09 166,09 1122,7684 1121,1075 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-10 6,745 6,735 166,54 166,54 1123,3123 1121,6469 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-11 6,765 6,755 165,15 165,15 1117,23975 1115,58825 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-14 6,76 6,75 164,09 164,09 1109,2484 1107,6075 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-15 6,815 6,805 162,76 162,76 1109,2094 1107,5818 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-16 6,81 6,8 162,25 162,25 1104,9225 1103,3 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-17 6,795 6,785 160,73 160,73 1092,16035 1090,55305 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-18 6,828 6,818 161,06 161,06 1099,71768 1098,10708 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-21 6,908 6,898 160,02 160,02 1105,41816 1103,81796 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-22 6,928 6,918 157,23 157,23 1089,28944 1087,71714 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-23 6,973 6,963 154,51 154,51 1077,39823 1075,85313 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-24 7,008 6,998 153,9 153,9 1078,5312 1076,9922 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-29 7,055 7,045 152,05 152,05 1072,71275 1071,19225 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-30 7,053 7,043 152,24 152,24 1073,74872 1072,22632 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-03-31 7,065 7,055 155,6 155,6 1099,314 1097,758 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-01 7,07 7,06 158,35 158,35 1119,5345 1117,951 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-04 7,113 7,103 158,41 158,41 1126,77033 1125,18623 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-05 7,163 7,153 157,33 157,33 1126,95479 1125,38149 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-06 7,125 7,115 158,47 158,47 1129,09875 1127,51405 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-07 7,083 7,073 158,87 158,87 1125,27621 1123,68751 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-08 7,153 7,143 155,98 155,98 1115,72494 1114,16514 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-11 7,098 7,088 154,04 154,04 1093,37592 1091,83552 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-12 7,048 7,038 155,17 155,17 1093,63816 1092,08646 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-13 7,075 7,065 155,34 155,34 1099,0305 1097,4771 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-14 7,12 7,11 155,34 155,34 1106,0208 1104,4674 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-15 7,17 7,16 150,09 150,09 1076,1453 1074,6444 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-18 7,08 7,07 150,09 150,09 1062,6372 1061,1363 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-19 7,068 7,058 147,64 147,64 1043,51952 1042,04312 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-20 7,043 7,033 149,64 149,64 1053,91452 1052,41812 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-21 7,025 7,015 151,07 151,07 1061,26675 1059,75605 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-25 7,04 7,03 153,65 153,65 1081,696 1080,1595 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-26 7,035 7,025 152,84 152,84 1075,2294 1073,701 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-27 7,085 7,075 151,21 151,21 1071,32285 1069,81075 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-28 7,085 7,075 151,35 151,35 1072,31475 1070,80125 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-04-29 7,08 7,07 148,85 148,85 1053,858 1052,3695 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-02 7,15 7,14 149,79 149,79 1070,9985 1069,5006 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-03 7,178 7,168 150,28 150,28 1078,70984 1077,20704 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-04 7,11 7,1 151,92 151,92 1080,1512 1078,632 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-06 7,085 7,075 155,03 155,03 1098,38755 1096,83725 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-09 7,168 7,158 156,89 156,89 1124,58752 1123,01862 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-10 7,178 7,168 156,49 156,49 1123,28522 1121,72032 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-11 7,15 7,14 156,42 156,42 1118,403 1116,8388 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-12 7,243 7,233 156,68 156,68 1134,83324 1133,26644 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-13 7,265 7,255 156,47 156,47 1136,75455 1135,18985 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-17 7,313 7,303 156,6 156,6 1145,2158 1143,6498 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-18 7,3 7,29 155,5 155,5 1135,15 1133,595 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-19 7,26 7,25 156,57 156,57 1136,6982 1135,1325 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-20 7,28 7,27 156,86 156,86 1141,9408 1140,3722 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-24 7,295 7,285 158,77 158,77 1158,22715 1156,63945 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-25 7,298 7,288 159,07 159,07 1160,89286 1159,30216 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-26 7,33 7,32 160,9 160,9 1179,397 1177,788 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-27 7,338 7,328 161,3 161,3 1183,6194 1182,0064 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-30 7,338 7,328 160,3 160,3 1176,2814 1174,6784 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-05-31 7,403 7,393 161,12 161,12 1192,77136 1191,16016 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-01 7,428 7,418 161,83 161,83 1202,07324 1200,45494 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-02 7,473 7,463 160,55 160,55 1199,79015 1198,18465 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-03 7,438 7,428 163,11 163,11 1213,21218 1211,58108 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-07 7,448 7,438 164,13 164,13 1222,44024 1220,79894 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-08 7,435 7,425 166,29 166,29 1236,36615 1234,70325 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-09 7,523 7,513 165,56 165,56 1245,50788 1243,85228 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-10 7,525 7,515 164,44 164,44 1237,411 1235,7666 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-13 7,643 7,633 164,91 164,91 1260,40713 1258,75803 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-14 7,663 7,653 165,62 165,62 1269,14606 1267,48986 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-15 7,693 7,683 166,3 166,3 1279,3459 1277,6829 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-16 7,678 7,668 166,75 166,75 1280,3065 1278,639 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-17 7,643 7,633 166,87 166,87 1275,38741 1273,71871 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-20 7,543 7,533 168,9 168,9 1274,0127 1272,3237 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-21 7,648 7,638 170,43 170,43 1303,44864 1301,74434 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-22 7,608 7,598 172,2 172,2 1310,0976 1308,3756 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-27 7,73 7,72 172,87 172,87 1336,2851 1334,5564 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-28 7,76 7,75 170,38 170,38 1322,1488 1320,445 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-29 7,833 7,823 172,32 172,32 1349,78256 1348,05936 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-06-30 7,823 7,813 174,64 174,64 1366,20872 1364,46232 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-01 7,858 7,848 174,79 174,79 1373,49982 1371,75192 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-04 7,945 7,935 176,62 176,62 1403,2459 1401,4797 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-05 7,963 7,953 175,35 175,35 1396,31205 1394,55855 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-06 7,895 7,885 176,98 176,98 1397,2571 1395,4873 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-07 7,878 7,868 172,86 172,86 1361,79108 1360,06248 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-08 7,913 7,903 174,43 174,43 1380,26459 1378,52029 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-11 7,89 7,88 176,76 176,76 1394,6364 1392,8688 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-12 7,77 7,76 177,04 177,04 1375,6008 1373,8304 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-13 7,703 7,693 175,79 175,79 1354,11037 1352,35247 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-14 7,76 7,75 174,71 174,71 1355,7496 1354,0025 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-15 7,76 7,75 176,81 176,81 1372,0456 1370,2775 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-18 7,78 7,77 178,26 178,26 1386,8628 1385,0802 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-19 7,878 7,868 178,56 178,56 1406,69568 1404,91008 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-20 7,818 7,808 178,96 178,96 1399,10928 1397,31968 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-21 7,775 7,765 178,31 178,31 1386,36025 1384,57715 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-22 7,758 7,748 181,2 181,2 1405,7496 1403,9376 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-25 7,838 7,828 183,67 183,67 1439,60546 1437,76876 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-26 7,818 7,808 183,42 183,42 1433,97756 1432,14336 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-27 7,905 7,895 184,39 184,39 1457,60295 1455,75905 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-28 7,848 7,838 184,37 184,37 1446,93576 1445,09206 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-07-29 7,748 7,738 184,31 184,31 1428,03388 1426,19078 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-01 7,72 7,71 185,37 185,37 1431,0564 1429,2027 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-02 7,7 7,69 187,64 187,64 1444,828 1442,9516 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-03 7,685 7,675 188,44 188,44 1448,1614 1446,277 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-04 7,618 7,608 188,69 188,69 1437,44042 1435,55352 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-05 7,548 7,538 187,54 187,54 1415,55192 1413,67652 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-08 7,558 7,548 183,98 183,98 1390,52084 1388,68104 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-09 7,548 7,538 183,55 183,55 1385,4354 1383,5999 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-10 7,558 7,548 186,86 186,86 1412,28788 1410,41928 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-11 7,523 7,513 188,21 188,21 1415,90383 1414,02173 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-12 7,46 7,45 188,41 188,41 1405,5386 1403,6545 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-16 7,523 7,513 188,73 188,73 1419,81579 1417,92849 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-17 7,605 7,595 191,3 191,3 1454,8365 1452,9235 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-18 7,61 7,6 189,85 189,85 1444,7585 1442,86 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-19 7,698 7,688 189,31 189,31 1457,30838 1455,41528 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-22 7,69 7,68 187,6 187,6 1442,644 1440,768 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-23 7,663 7,653 184,2 184,2 1411,5246 1409,6826 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-24 7,673 7,663 183,19 183,19 1405,61687 1403,78497 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-25 7,588 7,578 184,95 184,95 1403,4006 1401,5511 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-26 7,578 7,568 185,58 185,58 1406,32524 1404,46944 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-29 7,573 7,563 183,65 183,65 1390,78145 1388,94495 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-30 7,633 7,623 185,58 185,58 1416,53214 1414,67634 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-08-31 7,668 7,658 186,63 186,63 1431,07884 1429,21254 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-01 7,568 7,558 188,49 188,49 1426,49232 1424,60742 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-02 7,435 7,425 190,15 190,15 1413,76525 1411,86375 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-05 7,41 7,4 191,57 191,57 1419,5337 1417,618 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-06 7,485 7,475 190,97 190,97 1429,41045 1427,50075 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-08 7,498 7,488 193,94 193,94 1454,16212 1452,22272 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-09 7,523 7,513 193,95 193,95 1459,08585 1457,14635 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-12 7,555 7,545 196,24 196,24 1482,5932 1480,6308 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-13 7,57 7,56 197,41 197,41 1494,3937 1492,4196 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-14 7,61 7,6 196,9 196,9 1498,409 1496,44 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-15 7,658 7,648 199,16 199,16 1525,16728 1523,17568 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-16 7,613 7,603 201,05 201,05 1530,59365 1528,58315 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-19 7,698 7,688 201,79 201,79 1553,37942 1551,36152 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-20 7,688 7,678 203,13 203,13 1561,66344 1559,63214 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-21 7,663 7,653 202,38 202,38 1550,83794 1548,81414 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-22 7,648 7,638 195,78 195,78 1497,32544 1495,36764 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-23 7,733 7,723 195,94 195,94 1515,20402 1513,24462 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-26 7,798 7,788 201,13 201,13 1568,41174 1566,40044 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-27 7,825 7,815 202,53 202,53 1584,79725 1582,77195 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-28 7,81 7,8 203,67 203,67 1590,6627 1588,626 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-29 7,785 7,775 204,84 204,84 1594,6794 1592,631 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-09-30 7,785 7,775 204,7 204,7 1593,5895 1591,5425 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-03 7,783 7,773 206,2 206,2 1604,8546 1602,7926 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-04 7,82 7,81 208,74 208,74 1632,3468 1630,2594 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-05 7,795 7,785 207,47 207,47 1617,22865 1615,15395 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-06 7,713 7,703 202,86 202,86 1564,65918 1562,63058 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-07 7,683 7,673 201,4 201,4 1547,3562 1545,3422 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-10 7,698 7,688 199,8 199,8 1538,0604 1536,0624 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-11 7,77 7,76 200,97 200,97 1561,5369 1559,5272 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-13 7,83 7,82 196,64 196,64 1539,6912 1537,7248 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-14 7,833 7,823 193,15 193,15 1512,94395 1511,01245 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-17 7,835 7,825 192,56 192,56 1508,7076 1506,782 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-18 7,893 7,883 189,33 189,33 1494,38169 1492,48839 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-19 7,96 7,95 186,05 186,05 1480,958 1479,0975 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-20 7,93 7,92 185,12 185,12 1468,0016 1466,1504 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-21 7,883 7,873 187,99 187,99 1481,92517 1480,04527 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-24 7,995 7,985 184,68 184,68 1476,5166 1474,6698 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-25 7,99 7,98 186,56 186,56 1490,6144 1488,7488 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-26 7,868 7,858 186 186 1463,448 1461,588 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-27 7,868 7,858 181,66 181,66 1429,30088 1427,48428 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-28 7,825 7,815 179,02 179,02 1400,8315 1399,0413 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-10-31 7,905 7,895 183,22 183,22 1448,3541 1446,5219 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-02 7,98 7,97 186,45 186,45 1487,871 1486,0065 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-03 8,01 8 186,45 186,45 1493,4645 1491,6 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-04 8,028 8,018 185,6 185,6 1489,9968 1488,1408 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-07 8,135 8,125 186,7 186,7 1518,8045 1516,9375 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-08 8,17 8,16 189,03 189,03 1544,3751 1542,4848 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-09 8,12 8,11 189,22 189,22 1536,4664 1534,5742 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-10 8,173 8,163 190,06 190,06 1553,36038 1551,45978 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-11 8,235 8,225 193,67 193,67 1594,87245 1592,93575 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-14 8,133 8,123 194,12 194,12 1578,77796 1576,83676 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-16 8,21 8,2 195,7 195,7 1606,697 1604,74 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-17 8,258 8,248 197,4 197,4 1630,1292 1628,1552 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-18 8,223 8,213 198,5 198,5 1632,2655 1630,2805 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-21 8,123 8,113 197,05 197,05 1600,63715 1598,66665 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-22 8,15 8,14 194,95 194,95 1588,8425 1586,893 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-23 8,048 8,038 197,51 197,51 1589,56048 1587,58538 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-24 8,053 8,043 199,34 199,34 1605,28502 1603,29162 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-25 8,078 8,068 201,43 201,43 1627,15154 1625,13724 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-28 8,118 8,108 203,82 203,82 1654,61076 1652,57256 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-29 8,015 8,005 203,32 203,32 1629,6098 1627,5766 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-11-30 8,088 8,078 199,92 199,92 1616,95296 1614,95376 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-01 8,083 8,073 203,33 203,33 1643,51639 1641,48309 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-02 8,103 8,093 202,79 202,79 1643,20737 1641,17947 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-05 8,045 8,035 199,68 199,68 1606,4256 1604,4288 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-06 7,993 7,983 200,14 200,14 1599,71902 1597,71762 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-07 8,015 8,005 201,99 201,99 1618,94985 1616,92995 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-08 7,988 7,978 202,93 202,93 1621,00484 1618,97554 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-12 7,953 7,943 207,46 207,46 1649,92938 1647,85478 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-13 7,905 7,895 212,36 212,36 1678,7058 1676,5822 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-14 7,848 7,838 211,44 211,44 1659,38112 1657,26672 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-15 7,858 7,848 211,91 211,91 1665,18878 1663,06968 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-16 7,903 7,893 214,18 214,18 1692,66454 1690,52274 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-19 7,865 7,855 217,95 217,95 1714,17675 1711,99725 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-20 7,848 7,838 216,55 216,55 1699,4844 1697,3189 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-21 7,948 7,938 215,39 215,39 1711,91972 1709,76582 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-22 7,98 7,97 216,74 216,74 1729,5852 1727,4178 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-23 7,955 7,945 215,12 215,12 1711,2796 1709,1284 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-27 8,01 8 215,06 215,06 1722,6306 1720,48 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-28 7,915 7,905 214,81 214,81 1700,22115 1698,07305 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-29 7,938 7,928 216,33 216,33 1717,22754 1715,06424 874271 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Indian Equities USD 2005-12-30 7,958 7,948 218,22 218,22 1736,59476 1734,41256 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-04 0,06545 0,06535 5696,75 5696,75 372,8522875 372,2826125 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-05 0,0653 0,0652 5648,42 5648,42 368,841826 368,276984 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-07 0,06565 0,06555 5653,07 5653,07 371,1240455 370,5587385 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-11 0,06651 0,06641 5706,64 5706,64 379,5486264 378,9779624 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-12 0,06685 0,06675 5667,54 5667,54 378,875049 378,308295 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-13 0,06685 0,06675 5627,69 5627,69 376,2110765 375,6483075 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-14 0,0672 0,0671 5640,54 5640,54 379,044288 378,480234 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-17 0,0679 0,0678 5664,86 5664,86 384,643994 384,077508 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-18 0,0679 0,0678 5646,34 5646,34 383,386486 382,821852 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-19 0,06745 0,06735 5646,08 5646,08 380,828096 380,263488 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-20 0,06765 0,06755 5597,37 5597,37 378,6620805 378,1023435 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-21 0,06725 0,06715 5599,92 5599,92 376,59462 376,034628 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-24 0,06745 0,06735 5635,35 5635,35 380,1043575 379,5408225 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-25 0,0674 0,0673 5642,81 5642,81 380,325394 379,761113 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-26 0,06755 0,06745 5674,37 5674,37 383,3036935 382,7362565 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-27 0,0672 0,0671 5662,81 5662,81 380,540832 379,974551 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-28 0,0677 0,0676 5658,99 5658,99 383,113623 382,547724 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-01-31 0,0676 0,0675 5702,48 5702,48 385,487648 384,9174 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-01 0,06725 0,06715 5707,15 5707,15 383,8058375 383,2351225 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-02 0,0671 0,067 5732,39 5732,39 384,643369 384,07013 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-03 0,06695 0,06685 5712,68 5712,68 382,463926 381,892658 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-04 0,0671 0,067 5686,75 5686,75 381,580925 381,01225 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-07 0,0677 0,0676 5725,18 5725,18 387,594686 387,022168 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-08 0,06765 0,06755 5727,69 5727,69 387,4782285 386,9054595 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-09 0,06725 0,06715 5718,99 5718,99 384,6020775 384,0301785 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-10 0,06715 0,06705 5737,39 5737,39 385,2657385 384,6919995 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-14 0,0671 0,067 5773,63 5773,63 387,410573 386,83321 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-15 0,0667 0,0666 5767,1 5767,1 384,66557 384,08886 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-16 0,06635 0,06625 5746,69 5746,69 381,2928815 380,7182125 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-17 0,06615 0,06605 5737,42 5737,42 379,530333 378,956591 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-18 0,06615 0,06605 5758,15 5758,15 380,9016225 380,3258075 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-21 0,06605 0,06595 5765,41 5765,41 380,8053305 380,2287895 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-22 0,06605 0,06595 5750,01 5750,01 379,7881605 379,2131595 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-23 0,0658 0,0657 5710,29 5710,29 375,737082 375,166053 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-24 0,0655 0,0654 5732,46 5732,46 375,47613 374,902884 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-25 0,06545 0,06535 5776,59 5776,59 378,0778155 377,5001565 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-02-28 0,06545 0,06535 5826,28 5826,28 381,330026 380,747398 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-01 0,06565 0,06555 5833,77 5833,77 382,9870005 382,4036235 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-02 0,06585 0,06575 5864,5 5864,5 386,177325 385,590875 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-03 0,06575 0,06565 5883,67 5883,67 386,8513025 386,2629355 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-04 0,06545 0,06535 5896,54 5896,54 385,928543 385,338889 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-07 0,0652 0,0651 5900,1 5900,1 384,68652 384,09651 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-08 0,06505 0,06495 5898,21 5898,21 383,6785605 383,0887395 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-09 0,06465 0,06455 5920,62 5920,62 382,768083 382,176021 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-10 0,06485 0,06475 5888,49 5888,49 381,8685765 381,2797275 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-11 0,065 0,0649 5914,4 5914,4 384,436 383,84456 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-14 0,0647 0,0646 5893,47 5893,47 381,307509 380,718162 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-15 0,06505 0,06495 5881,39 5881,39 382,5844195 381,9962805 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-16 0,06535 0,06525 5897,71 5897,71 385,4153485 384,8255775 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-17 0,0652 0,0651 5864,94 5864,94 382,394088 381,807594 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-18 0,0652 0,0651 5919,16 5919,16 385,929232 385,337316 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-22 0,06595 0,06585 5923,38 5923,38 390,646911 390,054573 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-23 0,06615 0,06605 5884,28 5884,28 389,245122 388,656694 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-24 0,0659 0,0658 5863,75 5863,75 386,421125 385,83475 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-29 0,06595 0,06585 5832,32 5832,32 384,641504 384,058272 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-30 0,06575 0,06565 5794,49 5794,49 380,9877175 380,4082685 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-03-31 0,06595 0,06585 5866,68 5866,68 386,907546 386,320878 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-01 0,06585 0,06575 5885,67 5885,67 387,5713695 386,9828025 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-04 0,06595 0,06585 5877,61 5877,61 387,6283795 387,0406185 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-05 0,06585 0,06575 5910,49 5910,49 389,2057665 388,6147175 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-06 0,06595 0,06585 5936,86 5936,86 391,535917 390,942231 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-07 0,06545 0,06535 5942,86 5942,86 388,960187 388,365901 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-08 0,0658 0,0657 5960,78 5960,78 392,219324 391,623246 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-11 0,06555 0,06545 5909,83 5909,83 387,3893565 386,7983735 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-12 0,06545 0,06535 5853,08 5853,08 383,084086 382,498778 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-13 0,0659 0,0658 5839,84 5839,84 384,845456 384,261472 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-14 0,06615 0,06605 5803,87 5803,87 383,9260005 383,3456135 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-15 0,06625 0,06615 5713,24 5713,24 378,50215 377,930826 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-18 0,0658 0,0657 5511,63 5511,63 362,665254 362,114091 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-19 0,06595 0,06585 5600,88 5600,88 369,378036 368,817948 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-20 0,0659 0,0658 5637,09 5637,09 371,484231 370,920522 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-21 0,0657 0,0656 5598,51 5598,51 367,822107 367,262256 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-22 0,06585 0,06575 5638,32 5638,32 371,283372 370,71954 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-25 0,0666 0,0665 5650,07 5650,07 376,294662 375,729655 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-26 0,0664 0,0663 5644,92 5644,92 374,822688 374,258196 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-27 0,06675 0,06665 5646,8 5646,8 376,9239 376,35922 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-04-28 0,0669 0,0668 5654,71 5654,71 378,300099 377,734628 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-02 0,068 0,0679 5661,56 5661,56 384,98608 384,419924 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-06 0,0677 0,0676 5756,1 5756,1 389,68797 389,11236 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-09 0,06805 0,06795 5765,52 5765,52 392,343636 391,767084 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-10 0,0678 0,0677 5765,09 5765,09 390,873102 390,296593 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-11 0,06765 0,06755 5749,44 5749,44 388,949616 388,374672 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-12 0,06815 0,06805 5727,54 5727,54 390,331851 389,759097 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-13 0,068 0,0679 5696,85 5696,85 387,3858 386,816115 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-17 0,06825 0,06815 5575,42 5575,42 380,522415 379,964873 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-18 0,06785 0,06775 5557,28 5557,28 377,061448 376,50572 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-19 0,06775 0,06765 5671,26 5671,26 384,227865 383,660739 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-20 0,0677 0,0676 5668,32 5668,32 383,745264 383,178432 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-23 0,06775 0,06765 5706,75 5706,75 386,6323125 386,0616375 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-24 0,0679 0,0678 5701,99 5701,99 387,165121 386,594922 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-25 0,06795 0,06785 5638,59 5638,59 383,1421905 382,5783315 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-26 0,06785 0,06775 5626,4 5626,4 381,75124 381,1886 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-27 0,06805 0,06795 5665,81 5665,81 385,5583705 384,9917895 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-30 0,068 0,0679 5713,3 5713,3 388,5044 387,93307 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-05-31 0,06835 0,06825 5736,15 5736,15 392,0658525 391,4922375 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-01 0,06855 0,06845 5760,33 5760,33 394,8706215 394,2945885 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-02 0,069 0,0689 5757,77 5757,77 397,28613 396,710353 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-03 0,06895 0,06885 5762,87 5762,87 397,3498865 396,7735995 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-07 0,06975 0,06965 5729,42 5729,42 399,627045 399,054103 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-08 0,0696 0,0695 5766,94 5766,94 401,379024 400,80233 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-09 0,0702 0,0701 5721,58 5721,58 401,654916 401,082758 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-10 0,0701 0,07 5771,51 5771,51 404,582851 404,0057 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-13 0,07035 0,07025 5773,25 5773,25 406,1481375 405,5708125 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-14 0,0701 0,07 5771,04 5771,04 404,549904 403,9728 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-15 0,07045 0,07035 5804,69 5804,69 408,9404105 408,3599415 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-16 0,07025 0,07015 5817,31 5817,31 408,6660275 408,0842965 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-17 0,0702 0,0701 5867,6 5867,6 411,90552 411,31876 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-20 0,06935 0,06925 5863,83 5863,83 406,6566105 406,0702275 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-21 0,06995 0,06985 5856,25 5856,25 409,6446875 409,0590625 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-22 0,07015 0,07005 5872,08 5872,08 411,926412 411,339204 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-27 0,07085 0,07075 5831,21 5831,21 413,1412285 412,5581075 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-28 0,0707 0,0706 5874,05 5874,05 415,295335 414,70793 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-29 0,0711 0,071 5890,94 5890,94 418,845834 418,25674 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-06-30 0,0709 0,0708 5914,1 5914,1 419,30969 418,71828 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-01 0,07065 0,07055 5936,36 5936,36 419,403834 418,810198 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-04 0,07125 0,07115 5954,59 5954,59 424,2645375 423,6690785 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-05 0,07115 0,07105 5937,73 5937,73 422,4694895 421,8757165 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-06 0,07075 0,07065 5948,6 5948,6 420,86345 420,26859 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-07 0,07025 0,07015 5925,84 5925,84 416,29026 415,697676 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-08 0,07045 0,07035 5908,43 5908,43 416,2488935 415,6580505 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-11 0,0705 0,0704 5943,7 5943,7 419,03085 418,43648 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-12 0,0699 0,0698 5956,93 5956,93 416,389407 415,793714 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-13 0,06915 0,06905 5956,46 5956,46 411,889209 411,293563 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-14 0,0694 0,0693 5985,2 5985,2 415,37288 414,77436 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-15 0,0694 0,0693 5991,26 5991,26 415,793444 415,194318 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-19 0,06995 0,06985 5991,89 5991,89 419,1327055 418,5335165 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-20 0,0691 0,069 6023,17 6023,17 416,201047 415,59873 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-21 0,06925 0,06915 6007,55 6007,55 416,0228375 415,4220825 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-22 0,06995 0,06985 5964,75 5964,75 417,2342625 416,6377875 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-25 0,07005 0,06995 5980,64 5980,64 418,943832 418,345768 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-26 0,06995 0,06985 5977,2 5977,2 418,10514 417,50742 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-27 0,07015 0,07005 6033,71 6033,71 423,2647565 422,6613855 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-28 0,0697 0,0696 6050,81 6050,81 421,741457 421,136376 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-07-29 0,06915 0,06905 6066,98 6066,98 419,531667 418,924969 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-01 0,0689 0,0688 6102,54 6102,54 420,465006 419,854752 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-02 0,0691 0,069 6095,28 6095,28 421,183848 420,57432 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-03 0,06885 0,06875 6087,19 6087,19 419,1030315 418,4943125 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-04 0,0686 0,0685 6043 6043 414,5498 413,9455 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-05 0,0678 0,0677 5957,77 5957,77 403,936806 403,341029 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-08 0,0674 0,0673 5973,4 5973,4 402,60716 402,00982 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-09 0,06745 0,06735 6050,18 6050,18 408,084641 407,479623 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-10 0,06805 0,06795 6149,75 6149,75 418,4904875 417,8755125 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-11 0,06825 0,06815 6208,68 6208,68 423,74241 423,121542 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-12 0,06805 0,06795 6211,59 6211,59 422,6986995 422,0775405 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-16 0,06895 0,06885 6247,05 6247,05 430,7340975 430,1093925 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-17 0,06915 0,06905 6244,67 6244,67 431,8189305 431,1944635 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-18 0,0691 0,069 6266,82 6266,82 433,037262 432,41058 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-19 0,06965 0,06955 6249,03 6249,03 435,2449395 434,6200365 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-22 0,07 0,0699 6334,46 6334,46 443,4122 442,778754 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-23 0,06965 0,06955 6331,59 6331,59 440,9952435 440,3620845 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-24 0,0694 0,0693 6342,86 6342,86 440,194484 439,560198 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-25 0,06905 0,06895 6299,06 6299,06 434,950093 434,320187 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-26 0,069 0,0689 6322,12 6322,12 436,22628 435,594068 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-29 0,0687 0,0686 6254,82 6254,82 429,706134 429,080652 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-30 0,0688 0,0687 6326,06 6326,06 435,232928 434,600322 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-08-31 0,0688 0,0687 6312,88 6312,88 434,326144 433,694856 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-01 0,06825 0,06815 6346,08 6346,08 433,11996 432,485352 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-02 0,0678 0,0677 6383,91 6383,91 432,829098 432,190707 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-05 0,06775 0,06765 6423,81 6423,81 435,2131275 434,5707465 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-06 0,06825 0,06815 6390,65 6390,65 436,1618625 435,5227975 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-07 0,0678 0,0677 6381,33 6381,33 432,654174 432,016041 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-08 0,068 0,0679 6340,45 6340,45 431,1506 430,516555 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-09 0,0681 0,068 6402,23 6402,23 435,991863 435,35164 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-12 0,06875 0,06865 6483,77 6483,77 445,7591875 445,1108105 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-13 0,0685 0,0684 6515,43 6515,43 446,306955 445,655412 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-14 0,0688 0,0687 6500,27 6500,27 447,218576 446,568549 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-15 0,06925 0,06915 6579,66 6579,66 455,641455 454,983489 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-16 0,0688 0,0687 6589,32 6589,32 453,345216 452,686284 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-20 0,0691 0,069 6689,02 6689,02 462,211282 461,54238 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-21 0,06865 0,06855 6695,37 6695,37 459,6371505 458,9676135 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-22 0,06875 0,06865 6685,91 6685,91 459,6563125 458,9877215 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-26 0,06935 0,06925 6832,36 6832,36 473,824166 473,14093 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-27 0,0693 0,0692 6827,09 6827,09 473,117337 472,434628 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-28 0,06915 0,06905 6948,76 6948,76 480,506754 479,811878 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-29 0,06895 0,06885 7058,24 7058,24 486,665648 485,959824 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-09-30 0,06865 0,06855 6998,86 6998,86 480,471739 479,771853 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-03 0,06835 0,06825 7002,62 7002,62 478,629077 477,928815 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-04 0,0685 0,0684 7046,31 7046,31 482,672235 481,967604 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-05 0,06845 0,06835 6995,34 6995,34 478,831023 478,131489 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-06 0,06785 0,06775 6809,01 6809,01 461,9913285 461,3104275 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-07 0,06775 0,06765 6826,94 6826,94 462,525185 461,842491 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-11 0,0681 0,068 6983,05 6983,05 475,545705 474,8474 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-12 0,0681 0,068 6985,27 6985,27 475,696887 474,99836 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-13 0,0682 0,0681 6983,07 6983,07 476,245374 475,547067 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-14 0,0684 0,0683 6937,03 6937,03 474,492852 473,799149 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-17 0,0686 0,0685 6922,79 6922,79 474,903394 474,211115 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-18 0,0684 0,0683 6918,88 6918,88 473,251392 472,559504 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-19 0,06865 0,06855 6852,23 6852,23 470,4055895 469,7203665 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-20 0,0686 0,0685 6877,1 6877,1 471,76906 471,08135 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-21 0,06845 0,06835 6877,31 6877,31 470,7518695 470,0641385 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-24 0,0692 0,0691 6841,59 6841,59 473,438028 472,753869 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-25 0,0691 0,069 6921,99 6921,99 478,309509 477,61731 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-26 0,06825 0,06815 6988,58 6988,58 476,970585 476,271727 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-27 0,06825 0,06815 7060,71 7060,71 481,8934575 481,1873865 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-28 0,06795 0,06785 7049,98 7049,98 479,046141 478,341143 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-10-31 0,0684 0,0683 7171,72 7171,72 490,545648 489,828476 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-02 0,06825 0,06815 7328,88 7328,88 500,19606 499,463172 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-04 0,06825 0,06815 7424,05 7424,05 506,6914125 505,9490075 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-07 0,069 0,0689 7443,43 7443,43 513,59667 512,852327 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-08 0,0693 0,0692 7433,03 7433,03 515,108979 514,365676 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-09 0,0692 0,0691 7394,91 7394,91 511,727772 510,988281 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-10 0,06945 0,06935 7365,09 7365,09 511,5055005 510,7689915 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-11 0,0699 0,0698 7418,7 7418,7 518,56713 517,82526 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-14 0,0689 0,0688 7363,67 7363,67 507,356863 506,620496 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-15 0,0689 0,0688 7318,58 7318,58 504,250162 503,518304 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-16 0,06895 0,06885 7383,84 7383,84 509,115768 508,377384 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-17 0,06955 0,06945 7501,59 7501,59 521,7355845 520,9854255 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-18 0,0689 0,0688 7605,58 7605,58 524,024462 523,263904 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-21 0,0682 0,0681 7589,48 7589,48 517,602536 516,843588 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-22 0,06845 0,06835 7604,17 7604,17 520,5054365 519,7450195 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-23 0,068 0,0679 7604,17 7604,17 517,08356 516,323143 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-24 0,06785 0,06775 7577,38 7577,38 514,125233 513,367495 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-25 0,06775 0,06765 7629,29 7629,29 516,8843975 516,1214685 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-28 0,0677 0,0676 7705,13 7705,13 521,637301 520,866788 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-29 0,06735 0,06725 7730,59 7730,59 520,6552365 519,8821775 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-11-30 0,0677 0,0676 7708,78 7708,78 521,884406 521,113528 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-01 0,06745 0,06735 7855,06 7855,06 529,823797 529,038291 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-02 0,0672 0,0671 7970,86 7970,86 535,641792 534,844706 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-05 0,06635 0,06625 8063,35 8063,35 535,0032725 534,1969375 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-06 0,066 0,0659 8035,04 8035,04 530,31264 529,509136 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-07 0,06635 0,06625 8047,55 8047,55 533,9549425 533,1501875 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-08 0,06635 0,06625 7895,86 7895,86 523,890311 523,100725 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-12 0,06595 0,06585 8185,64 8185,64 539,842958 539,024394 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-13 0,06585 0,06575 8226,28 8226,28 541,700538 540,87791 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-14 0,0662 0,0661 8116,28 8116,28 537,297736 536,486108 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-15 0,06745 0,06735 8022,59 8022,59 541,1236955 540,3214365 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-16 0,06805 0,06795 8013,98 8013,98 545,351339 544,549941 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-19 0,06765 0,06755 8049,91 8049,91 544,5764115 543,7714205 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-20 0,06735 0,06725 8189,59 8189,59 551,5688865 550,7499275 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-21 0,06795 0,06785 8312,15 8312,15 564,8105925 563,9793775 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-22 0,06795 0,06785 8324,11 8324,11 565,6232745 564,7908635 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-27 0,06855 0,06845 8368,06 8368,06 573,630513 572,793707 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-28 0,06765 0,06755 8477,76 8477,76 573,520464 572,672688 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-29 0,0674 0,0673 8538,4 8538,4 575,48816 574,63432 910109 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Japanese Equities JPY 2005-12-30 0,06785 0,06775 8474,68 8474,68 575,007038 574,15957 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-03 6,668 6,658 75,04 75,04 500,36672 499,61632 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-04 6,728 6,718 74,75 74,75 502,918 502,1705 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-05 6,828 6,818 73,96 73,96 504,99888 504,25928 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-07 6,87 6,86 73,39 73,39 504,1893 503,4554 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-10 6,96091 6,95091 73,39 73,39 510,8611849 510,1272849 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-11 6,96091 6,95091 73,88 73,88 514,2720308 513,5332308 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-12 6,913 6,903 73,3 73,3 506,7229 505,9899 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-13 6,843 6,833 74,02 74,02 506,51886 505,77866 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-14 6,915 6,905 73,8 73,8 510,327 509,589 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-17 6,915 6,905 74,16 74,16 512,8164 512,0748 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-19 6,91 6,9 74,34 74,34 513,6894 512,946 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-20 6,96 6,95 73,83 73,83 513,8568 513,1185 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-21 6,978 6,968 72,8 72,8 507,9984 507,2704 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-24 6,933 6,923 72,6 72,6 503,3358 502,6098 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-25 6,95 6,94 72,32 72,32 502,624 501,9008 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-26 6,995 6,985 72,53 72,53 507,34735 506,62205 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-27 6,93 6,92 72,75 72,75 504,1575 503,43 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-28 6,985 6,975 72,52 72,52 506,5522 505,827 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-01-31 6,998 6,988 72,28 72,28 505,81544 505,09264 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-01 6,993 6,983 72,9 72,9 509,7897 509,0607 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-02 6,953 6,943 72,87 72,87 506,66511 505,93641 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-03 6,968 6,958 72,95 72,95 508,3156 507,5861 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-04 7,01 7 72,72 72,72 509,7672 509,04 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-07 7,065 7,055 73,31 73,31 517,93515 517,20205 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-08 7,123 7,113 73,34 73,34 522,40082 521,66742 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-09 7,1 7,09 73,08 73,08 518,868 518,1372 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-10 7,088 7,078 72,52 72,52 514,02176 513,29656 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-11 7,068 7,058 72,83 72,83 514,76244 514,03414 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-14 7,03 7,02 73,35 73,35 515,6505 514,917 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-15 7,005 6,995 73,54 73,54 515,1477 514,4123 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-16 6,973 6,963 74,07 74,07 516,49011 515,74941 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-17 6,97 6,96 73,66 73,66 513,4102 512,6736 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-18 6,965 6,955 73,76 73,76 513,7384 513,0008 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-21 6,978 6,968 73,53 73,53 513,09234 512,35704 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-23 6,895 6,885 73 73 503,335 502,605 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-24 6,858 6,848 72,97 72,97 500,42826 499,69856 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-25 6,885 6,875 73,08 73,08 503,1558 502,425 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-02-28 6,828 6,818 73,52 73,52 501,99456 501,25936 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-01 6,87 6,86 73,66 73,66 506,0442 505,3076 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-02 6,888 6,878 74,09 74,09 510,33192 509,59102 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-03 6,903 6,893 74,04 74,04 511,09812 510,35772 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-04 6,9 6,89 73,78 73,78 509,082 508,3442 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-07 6,84 6,83 74,5 74,5 509,58 508,835 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-08 6,825 6,815 74,43 74,43 507,98475 507,24045 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-09 6,76 6,75 74,52 74,52 503,7552 503,01 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-10 6,745 6,735 74,02 74,02 499,2649 498,5247 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-11 6,765 6,755 74,02 74,02 500,7453 500,0051 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-14 6,76 6,75 73,67 73,67 498,0092 497,2725 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-15 6,815 6,805 73,59 73,59 501,51585 500,77995 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-16 6,81 6,8 73,92 73,92 503,3952 502,656 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-17 6,795 6,785 73,47 73,47 499,22865 498,49395 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-18 6,828 6,818 73,4 73,4 501,1752 500,4412 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-21 6,908 6,898 73,17 73,17 505,45836 504,72666 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-22 6,928 6,918 72,69 72,69 503,59632 502,86942 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-23 6,973 6,963 72,35 72,35 504,49655 503,77305 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-24 7,008 6,998 71,72 71,72 502,61376 501,89656 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-29 7,055 7,045 71,9 71,9 507,2545 506,5355 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-30 7,053 7,043 71,44 71,44 503,86632 503,15192 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-03-31 7,065 7,055 72,18 72,18 509,9517 509,2299 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-01 7,07 7,06 72,49 72,49 512,5043 511,7794 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-04 7,113 7,103 72,01 72,01 512,20713 511,48703 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-05 7,163 7,153 71,83 71,83 514,51829 513,79999 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-06 7,125 7,115 72,37 72,37 515,63625 514,91255 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-07 7,083 7,073 72,31 72,31 512,17173 511,44863 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-08 7,153 7,143 72,64 72,64 519,59392 518,86752 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-11 7,098 7,088 72,15 72,15 512,1207 511,3992 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-12 7,048 7,038 71,97 71,97 507,24456 506,52486 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-13 7,075 7,065 71,9 71,9 508,6925 507,9735 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-14 7,12 7,11 71,51 71,51 509,1512 508,4361 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-15 7,17 7,16 70,53 70,53 505,7001 504,9948 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-18 7,08 7,07 69,24 69,24 490,2192 489,5268 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-19 7,068 7,058 69,26 69,26 489,52968 488,83708 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-20 7,043 7,033 69,48 69,48 489,34764 488,65284 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-21 7,025 7,015 69,07 69,07 485,21675 484,52605 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-22 7,023 7,013 69,94 69,94 491,18862 490,48922 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-25 7,04 7,03 69,63 69,63 490,1952 489,4989 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-26 7,035 7,025 69,85 69,85 491,39475 490,69625 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-27 7,085 7,075 69,1 69,1 489,5735 488,8825 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-28 7,085 7,075 68,83 68,83 487,66055 486,97225 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-04-29 7,08 7,07 68,14 68,14 482,4312 481,7498 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-02 7,15 7,14 68,33 68,33 488,5595 487,8762 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-03 7,178 7,168 68,6 68,6 492,4108 491,7248 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-04 7,11 7,1 68,87 68,87 489,6657 488,977 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-06 7,085 7,075 70,11 70,11 496,72935 496,02825 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-09 7,168 7,158 69,92 69,92 501,18656 500,48736 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-10 7,178 7,168 70 70 502,46 501,76 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-11 7,15 7,14 69,53 69,53 497,1395 496,4442 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-12 7,243 7,233 69,32 69,32 502,08476 501,39156 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-13 7,265 7,255 69,1 69,1 502,0115 501,3205 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-17 7,313 7,303 69,26 69,26 506,49838 505,80578 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-18 7,3 7,29 69,57 69,57 507,861 507,1653 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-19 7,26 7,25 70,69 70,69 513,2094 512,5025 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-20 7,28 7,27 71,25 71,25 518,7 517,9875 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-23 7,32 7,31 71,15 71,15 520,818 520,1065 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-24 7,295 7,285 71,39 71,39 520,79005 520,07615 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-25 7,298 7,288 71,07 71,07 518,66886 517,95816 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-26 7,33 7,32 70,86 70,86 519,4038 518,6952 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-27 7,338 7,328 71,26 71,26 522,90588 522,19328 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-30 7,338 7,328 71,15 71,15 522,0987 521,3872 225086 Pictet Gestion (Luxembourg) S.A. Pictet Funds - Leisure USD 2005-05-31 7,403 7,393 71,15 71,15 526,72345 526,01195 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-03 9,0065 9,0015 191,68 191,68 1726,36592 1725,40752 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-04 9,0345 9,0295 194,51 194,51 1757,300595 1756,328045 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-05 9,0615 9,0565 193,5 193,5 1753,40025 1752,43275 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-07 9,0615 9,0565 188,39 188,39 1707,095985 1706,154035 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-10 9,08619 9,08119 192 192 1744,54848 1743,58848 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-11 9,08619 9,08119 192,1 192,1 1745,457099 1744,496599 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-12 9,0455 9,0405 193,84 193,84 1753,37972 1752,41052 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-13 9,0505 9,0455 193,47 193,47 1751,000235 1750,032885 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-14 9,0455 9,0405 194,93 194,93 1763,239315 1762,264665 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-17 9,0685 9,0635 197,38 197,38 1789,94053 1788,95363 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-19 9,0225 9,0175 196,37 196,37 1771,748325 1770,766475 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-20 9,0315 9,0265 197,11 197,11 1780,198965 1779,213415 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-21 9,0505 9,0455 196,84 196,84 1781,50042 1780,51622 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-24 9,0655 9,0605 196,58 196,58 1782,09599 1781,11309 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-25 9,0715 9,0665 196,67 196,67 1784,091905 1783,108555 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-26 9,0885 9,0835 200,44 200,44 1821,69894 1820,69674 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-27 9,0675 9,0625 200,78 200,78 1820,57265 1819,56875 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-28 9,0955 9,0905 202,57 202,57 1842,475435 1841,462585 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-01-31 9,1075 9,1025 205,1 205,1 1867,94825 1866,92275 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-01 9,1035 9,0985 205,73 205,73 1872,863055 1871,834405 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-02 9,0905 9,0855 208,16 208,16 1892,27848 1891,23768 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-03 9,0695 9,0645 208,95 208,95 1895,072025 1894,027275 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-04 9,0895 9,0845 210,7 210,7 1915,15765 1914,10415 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-07 9,0755 9,0705 213,12 213,12 1934,17056 1933,10496 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-08 9,0895 9,0845 215,32 215,32 1957,15114 1956,07454 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-09 9,0695 9,0645 215,99 215,99 1958,921305 1957,841355 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-10 9,0805 9,0755 213,79 213,79 1941,320095 1940,251145 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-11 9,0935 9,0885 212,75 212,75 1934,642125 1933,578375 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-14 9,1105 9,1055 213,73 213,73 1947,187165 1946,118515 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-15 9,0765 9,0715 214,64 214,64 1948,17996 1947,10676 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-16 9,0705 9,0655 216,8 216,8 1966,4844 1965,4004 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-17 9,0925 9,0875 217,6 217,6 1978,528 1977,44 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-18 9,0945 9,0895 217,22 217,22 1975,50729 1974,42119 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-21 9,1185 9,1135 217,65 217,65 1984,641525 1983,553275 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-23 9,1045 9,0995 217,39 217,39 1979,227255 1978,140305 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-24 9,0715 9,0665 217,9 217,9 1976,67985 1975,59035 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-25 9,0845 9,0795 221,55 221,55 2012,670975 2011,563225 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-02-28 9,0505 9,0455 228,43 228,43 2067,405715 2066,263565 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-01 9,0565 9,0515 229,32 229,32 2076,83658 2075,68998 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-02 9,0645 9,0595 228,78 228,78 2073,77631 2072,63241 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-03 9,0675 9,0625 223,99 223,99 2031,029325 2029,909375 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-04 9,0415 9,0365 224,37 224,37 2028,641355 2027,519505 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-07 9,0425 9,0375 225,93 225,93 2042,972025 2041,842375 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-08 9,0345 9,0295 229,66 229,66 2074,86327 2073,71497 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-09 9,0365 9,0315 227,73 227,73 2057,882145 2056,743495 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-10 9,0655 9,0605 227,41 227,41 2061,585355 2060,448305 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-11 9,0795 9,0745 222,75 222,75 2022,458625 2021,344875 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-14 9,0695 9,0645 222,45 222,45 2017,510275 2016,398025 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-15 9,1035 9,0985 217,85 217,85 1983,197475 1982,108225 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-16 9,0975 9,0925 216,46 216,46 1969,24485 1968,16255 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-17 9,1045 9,0995 205,05 205,05 1866,877725 1865,852475 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-18 9,1035 9,0985 203,48 203,48 1852,38018 1851,36278 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-21 9,1265 9,1215 207,85 207,85 1896,943025 1895,903775 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-22 9,1265 9,1215 202,48 202,48 1847,93372 1846,92132 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-23 9,1165 9,1115 207,75 207,75 1893,952875 1892,914125 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-24 9,1135 9,1085 203,79 203,79 1857,240165 1856,221215 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-29 9,1315 9,1265 208,32 208,32 1902,27408 1901,23248 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-30 9,1425 9,1375 206,09 206,09 1884,177825 1883,147375 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-03-31 9,1405 9,1355 205,7 205,7 1880,20085 1879,17235 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-01 9,1645 9,1595 210,24 210,24 1926,74448 1925,69328 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-04 9,1695 9,1645 213,47 213,47 1957,413165 1956,345815 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-05 9,1745 9,1695 213,14 213,14 1955,45293 1954,38723 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-06 9,1705 9,1655 215,21 215,21 1973,583305 1972,507255 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-07 9,1505 9,1455 218,91 218,91 2003,135955 2002,041405 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-08 9,1625 9,1575 219,49 219,49 2011,077125 2009,979675 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-11 9,1705 9,1655 219,35 219,35 2011,549175 2010,452425 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-12 9,1525 9,1475 215,51 215,51 1972,455275 1971,377725 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-13 9,1495 9,1445 214,85 214,85 1965,770075 1964,695825 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-14 9,1685 9,1635 216,11 216,11 1981,404535 1980,323985 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-15 9,1925 9,1875 212,6 212,6 1954,3255 1953,2625 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-18 9,1805 9,1755 207,88 207,88 1908,44234 1907,40294 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-19 9,2035 9,1985 201,89 201,89 1858,094615 1857,085165 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-20 9,1915 9,1865 203,69 203,69 1872,216635 1871,198185 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-21 9,1855 9,1805 203,7 203,7 1871,08635 1870,06785 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-22 9,1625 9,1575 204,35 204,35 1872,356875 1871,335125 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-25 9,1685 9,1635 206,33 206,33 1891,736605 1890,704955 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-26 9,1375 9,1325 208,49 208,49 1905,077375 1904,034925 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-27 9,1465 9,1415 207,51 207,51 1897,990215 1896,952665 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-28 9,1505 9,1455 203,04 203,04 1857,91752 1856,90232 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-04-29 9,1705 9,1655 198,08 198,08 1816,49264 1815,50224 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-02 9,1935 9,1885 199,42 199,42 1833,36777 1832,37067 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-03 9,2245 9,2195 201,97 201,97 1863,072265 1862,062415 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-04 9,1915 9,1865 201,15 201,15 1848,870225 1847,864475 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-06 9,1715 9,1665 205,48 205,48 1884,55982 1883,53242 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-09 9,1815 9,1765 205,65 205,65 1888,175475 1887,147225 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-10 9,1985 9,1935 205,26 205,26 1888,08411 1887,05781 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-11 9,2105 9,2055 203,15 203,15 1871,113075 1870,097325 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-12 9,2315 9,2265 202,09 202,09 1865,593835 1864,583385 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-13 9,2045 9,1995 202,76 202,76 1866,30442 1865,29062 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-17 9,2325 9,2275 198,08 198,08 1828,7736 1827,7832 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-18 9,2095 9,2045 200,73 200,73 1848,622935 1847,619285 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-19 9,1905 9,1855 204,95 204,95 1883,592975 1882,568225 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-20 9,1955 9,1905 206,36 206,36 1897,58338 1896,55158 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-23 9,1805 9,1755 208,05 208,05 1910,003025 1908,962775 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-24 9,1815 9,1765 204,51 204,51 1877,708565 1876,686015 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-25 9,1785 9,1735 206,57 206,57 1896,002745 1894,969895 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-26 9,1945 9,1895 204,67 204,67 1881,838315 1880,814965 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-27 9,1955 9,1905 206,71 206,71 1900,801805 1899,768255 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-30 9,1905 9,1855 208,96 208,96 1920,44688 1919,40208 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-05-31 9,1665 9,1615 208,96 208,96 1915,43184 1914,38704 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-01 9,1455 9,1405 214,27 214,27 1959,606285 1958,534935 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-02 9,1565 9,1515 215 215 1968,6475 1967,5725 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-03 9,1315 9,1265 217,45 217,45 1985,644675 1984,557425 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-07 9,1455 9,1405 218,39 218,39 1997,285745 1996,193795 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-08 9,1455 9,1405 218,91 218,91 2002,041405 2000,946855 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-09 9,1965 9,1915 218,42 218,42 2008,69953 2007,60743 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-10 9,1975 9,1925 219,18 219,18 2015,90805 2014,81215 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-13 9,2365 9,2315 222,66 222,66 2056,59909 2055,48579 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-14 9,2985 9,2935 224,05 224,05 2083,328925 2082,208675 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-15 9,2695 9,2645 224,66 224,66 2082,48587 2081,36257 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-16 9,2695 9,2645 224,85 224,85 2084,247075 2083,122825 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-17 9,2695 9,2645 227,19 227,19 2105,937705 2104,801755 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-20 9,2255 9,2205 225,98 225,98 2084,77849 2083,64859 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-21 9,2725 9,2675 227,71 227,71 2111,440975 2110,302425 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-22 9,2615 9,2565 228,06 228,06 2112,17769 2111,03739 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-27 9,3855 9,3805 229,98 229,98 2158,47729 2157,32739 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-28 9,3995 9,3945 226,89 226,89 2132,652555 2131,518105 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-29 9,4215 9,4165 229,64 229,64 2163,55326 2162,40506 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-06-30 9,4415 9,4365 230,37 230,37 2175,038355 2173,886505 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-01 9,4595 9,4545 231,69 231,69 2191,671555 2190,513105 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-04 9,4795 9,4745 238,15 238,15 2257,542925 2256,352175 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-06 9,4195 9,4145 239,03 239,03 2251,543085 2250,347935 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-07 9,3965 9,3915 243,54 243,54 2288,42361 2287,20591 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-08 9,4175 9,4125 240,55 240,55 2265,379625 2264,176875 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-11 9,4665 9,4615 244,38 244,38 2313,42327 2312,20137 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-12 9,4645 9,4595 241,79 241,79 2288,421455 2287,212505 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-13 9,3915 9,3865 240,89 240,89 2262,318435 2261,113985 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-14 9,3675 9,3625 244,67 244,67 2291,946225 2290,722875 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-15 9,4055 9,4005 244,84 244,84 2302,84262 2301,61842 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-18 9,3895 9,3845 244,48 244,48 2295,54496 2294,32256 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-19 9,4425 9,4375 242,81 242,81 2292,733425 2291,519375 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-20 9,4265 9,4215 246,02 246,02 2319,10753 2317,87743 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-21 9,4625 9,4575 247,93 247,93 2346,037625 2344,797975 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-22 9,4495 9,4445 246,77 246,77 2331,853115 2330,619265 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-25 9,4275 9,4225 248,11 248,11 2339,057025 2337,816475 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-26 9,4155 9,4105 250,16 250,16 2355,38148 2354,13068 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-27 9,4725 9,4675 248,46 248,46 2353,53735 2352,29505 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-28 9,4515 9,4465 251,67 251,67 2378,659005 2377,400655 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-07-29 9,3885 9,3835 254,58 254,58 2390,12433 2388,85143 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-01 9,3985 9,3935 255,23 255,23 2398,779155 2397,503005 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-02 9,3995 9,3945 256,35 256,35 2409,561825 2408,280075 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-03 9,3755 9,3705 259,54 259,54 2433,31727 2432,01957 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-04 9,3735 9,3685 256,5 256,5 2404,30275 2403,02025 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-05 9,3355 9,3305 257,8 257,8 2406,6919 2405,4029 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-08 9,3335 9,3285 259,27 259,27 2419,896545 2418,600195 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-09 9,3455 9,3405 260,8 260,8 2437,3064 2436,0024 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-10 9,3535 9,3485 261,49 261,49 2445,846715 2444,539265 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-11 9,3365 9,3315 261,24 261,24 2439,06726 2437,76106 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-12 9,3025 9,2975 256,42 256,42 2385,34705 2384,06495 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-16 9,2995 9,2945 253,99 253,99 2361,980005 2360,710055 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-17 9,3405 9,3355 258,49 258,49 2414,425845 2413,133395 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-18 9,3365 9,3315 257,75 257,75 2406,482875 2405,194125 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-19 9,3395 9,3345 258,53 258,53 2414,540935 2413,248285 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-22 9,3655 9,3605 260,11 260,11 2436,060205 2434,759655 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-23 9,3715 9,3665 261,39 261,39 2449,616385 2448,309435 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-24 9,3365 9,3315 262,4 262,4 2449,8976 2448,5856 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-25 9,3335 9,3285 262,43 262,43 2449,390405 2448,078255 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-26 9,3415 9,3365 263,32 263,32 2459,80378 2458,48718 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-29 9,3295 9,3245 265,35 265,35 2475,582825 2474,256075 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-30 9,3285 9,3235 266,73 266,73 2488,190805 2486,857155 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-08-31 9,3585 9,3535 269,51 269,51 2522,209335 2520,861785 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-01 9,3365 9,3315 271,6 271,6 2535,7934 2534,4354 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-02 9,3025 9,2975 275,64 275,64 2564,1411 2562,7629 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-05 9,2845 9,2795 279,12 279,12 2591,48964 2590,09404 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-07 9,3075 9,3025 276,14 276,14 2570,17305 2568,79235 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-08 9,3255 9,3205 273,31 273,31 2548,752405 2547,385855 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-09 9,3445 9,3395 276,6 276,6 2584,6887 2583,3057 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-12 9,3015 9,2965 282,52 282,52 2627,85978 2626,44718 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-13 9,3015 9,2965 287,23 287,23 2671,669845 2670,233695 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-14 9,3365 9,3315 283,88 283,88 2650,44562 2649,02622 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-15 9,3425 9,3375 284,05 284,05 2653,737125 2652,316875 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-16 9,3465 9,3415 291,65 291,65 2725,906725 2724,448475 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-19 9,3355 9,3305 295,88 295,88 2762,18774 2760,70834 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-20 9,3395 9,3345 301,13 301,13 2812,403635 2810,897985 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-21 9,3405 9,3355 299,71 299,71 2799,441255 2797,942705 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-22 9,3405 9,3355 303,07 303,07 2830,825335 2829,309985 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-23 9,3695 9,3645 303,47 303,47 2843,362165 2841,844815 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-26 9,3815 9,3765 302,28 302,28 2835,83982 2834,32842 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-27 9,3885 9,3835 303,75 303,75 2851,756875 2850,238125 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-28 9,3935 9,3885 310,67 310,67 2918,278645 2916,725295 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-29 9,3845 9,3795 308,63 308,63 2896,338235 2894,795085 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-09-30 9,3435 9,3385 310,37 310,37 2899,942095 2898,390245 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-03 9,3025 9,2975 309,86 309,86 2882,47265 2880,92335 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-04 9,3185 9,3135 318,35 318,35 2966,544475 2964,952725 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-05 9,3105 9,3055 321,86 321,86 2996,67753 2995,06823 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-06 9,3015 9,2965 311,42 311,42 2896,67313 2895,11603 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-07 9,3385 9,3335 295,05 295,05 2755,324425 2753,849175 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-10 9,3465 9,3415 294,46 294,46 2752,17039 2750,69809 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-12 9,3375 9,3325 306,56 306,56 2862,504 2860,9712 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-13 9,3815 9,3765 296,88 296,88 2785,17972 2783,69532 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-14 9,4135 9,4085 289,06 289,06 2721,06631 2719,62101 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-17 9,4575 9,4525 279,82 279,82 2646,39765 2644,99855 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-18 9,4625 9,4575 283,73 283,73 2684,795125 2683,376475 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-19 9,4605 9,4555 284,33 284,33 2689,903965 2688,482315 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-20 9,4935 9,4885 273,07 273,07 2592,390045 2591,024695 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-21 9,4915 9,4865 275,67 275,67 2616,521805 2615,143455 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-24 9,5455 9,5405 276,67 276,67 2640,953485 2639,570135 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-25 9,5465 9,5415 281,91 281,91 2691,253815 2689,844265 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-26 9,4975 9,4925 279,59 279,59 2655,406025 2654,008075 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-27 9,5355 9,5305 281,14 281,14 2680,81047 2679,40477 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-28 9,5135 9,5085 275,69 275,69 2622,776815 2621,398365 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-10-31 9,5495 9,5445 278,27 278,27 2657,339365 2655,948015 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-02 9,5855 9,5805 288,75 288,75 2767,813125 2766,369375 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-03 9,6515 9,6465 293,9 293,9 2836,57585 2835,10635 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-04 9,5875 9,5825 298,66 298,66 2863,40275 2861,90945 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-07 9,6075 9,6025 303,11 303,11 2912,129325 2910,613775 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-08 9,5685 9,5635 301,98 301,98 2889,49563 2887,98573 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-09 9,5575 9,5525 301,61 301,61 2882,637575 2881,129525 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-10 9,6105 9,6055 302,4 302,4 2906,2152 2904,7032 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-11 9,6365 9,6315 300,13 300,13 2892,202745 2890,702095 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-14 9,5505 9,5455 297,78 297,78 2843,94789 2842,45899 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-15 9,5805 9,5755 300,62 300,62 2880,08991 2878,58681 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-16 9,6235 9,6185 299,42 299,42 2881,46837 2879,97127 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-17 9,6355 9,6305 301,52 301,52 2905,29596 2903,78836 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-18 9,6085 9,6035 305,92 305,92 2939,43232 2937,90272 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-21 9,5915 9,5865 306,57 306,57 2940,466155 2938,933305 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-22 9,5585 9,5535 307,86 307,86 2942,67981 2941,14051 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-23 9,5155 9,5105 304,85 304,85 2900,800175 2899,275925 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-24 9,5125 9,5075 306,25 306,25 2913,203125 2911,671875 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-28 9,4835 9,4785 313,49 313,49 2972,982415 2971,414965 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-29 9,4785 9,4735 313,25 313,25 2969,140125 2967,573875 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-11-30 9,5295 9,5245 314,1 314,1 2993,21595 2991,64545 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-01 9,5165 9,5115 315,49 315,49 3002,360585 3000,783135 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-02 9,4905 9,4855 319,98 319,98 3036,77019 3035,17029 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-05 9,4065 9,4015 323,75 323,75 3045,354375 3043,735625 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-06 9,4185 9,4135 323,58 323,58 3047,63823 3046,02033 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-07 9,4255 9,4205 320,28 320,28 3018,79914 3017,19774 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-08 9,3965 9,3915 321,47 321,47 3020,692855 3019,085505 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-12 9,4315 9,4265 316,79 316,79 2987,804885 2986,220935 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-13 9,4295 9,4245 318,95 318,95 3007,539025 3005,944275 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-14 9,4365 9,4315 317,06 317,06 2991,93669 2990,35139 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-15 9,4345 9,4295 316,55 316,55 2986,490975 2984,908225 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-16 9,4765 9,4715 316,81 316,81 3002,249965 3000,665915 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-19 9,4535 9,4485 316,94 316,94 2996,19229 2994,60759 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-20 9,4015 9,3965 318,59 318,59 2995,223885 2993,630935 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-21 9,4485 9,4435 320,35 320,35 3026,826975 3025,225225 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-22 9,4365 9,4315 323,05 323,05 3048,461325 3046,846075 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-23 9,4425 9,4375 322,53 322,53 3045,489525 3043,876875 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-27 9,4915 9,4865 324,07 324,07 3075,910405 3074,290055 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-28 9,4345 9,4295 324,32 324,32 3059,79704 3058,17544 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-29 9,4115 9,4065 322,99 322,99 3039,820385 3038,205435 368407 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Eastern Europe EUR 2005-12-30 9,4325 9,4275 326,07 326,07 3075,655275 3074,024925 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-03 6,668 6,658 314,07 314,07 2094,21876 2091,07806 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-04 6,728 6,718 312,81 312,81 2104,58568 2101,45758 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-05 6,828 6,818 306,56 306,56 2093,19168 2090,12608 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-07 6,87 6,86 303,1 303,1 2082,297 2079,266 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-10 6,96091 6,95091 303,76 303,76 2114,4460216 2111,4084216 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-11 6,96091 6,95091 304,82 304,82 2121,8245862 2118,7763862 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-12 6,913 6,903 303,28 303,28 2096,57464 2093,54184 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-13 6,843 6,833 306,14 306,14 2094,91602 2091,85462 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-14 6,915 6,905 307,94 307,94 2129,4051 2126,3257 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-17 6,915 6,905 311,52 311,52 2154,1608 2151,0456 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-18 6,968 6,958 310,76 310,76 2165,37568 2162,26808 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-19 6,91 6,9 309,73 309,73 2140,2343 2137,137 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-20 6,96 6,95 309,36 309,36 2153,1456 2150,052 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-21 6,978 6,968 307,38 307,38 2144,89764 2141,82384 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-24 6,933 6,923 309,08 309,08 2142,85164 2139,76084 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-25 6,95 6,94 309,41 309,41 2150,3995 2147,3054 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-26 6,995 6,985 311,48 311,48 2178,8026 2175,6878 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-27 6,93 6,92 313,95 313,95 2175,6735 2172,534 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-28 6,985 6,975 315,76 315,76 2205,5836 2202,426 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-01-31 6,998 6,988 316,84 316,84 2217,24632 2214,07792 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-01 6,993 6,983 317,51 317,51 2220,34743 2217,17233 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-02 6,953 6,943 319,01 319,01 2218,07653 2214,88643 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-03 6,968 6,958 320,86 320,86 2235,75248 2232,54388 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-04 7,01 7 321,96 321,96 2256,9396 2253,72 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-07 7,065 7,055 324,25 324,25 2290,82625 2287,58375 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-08 7,123 7,113 323,72 323,72 2305,85756 2302,62036 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-09 7,1 7,09 323,2 323,2 2294,72 2291,488 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-10 7,088 7,078 323,46 323,46 2292,68448 2289,44988 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-11 7,068 7,058 324,23 324,23 2291,65764 2288,41534 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-14 7,03 7,02 329,54 329,54 2316,6662 2313,3708 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-15 7,005 6,995 330,37 330,37 2314,24185 2310,93815 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-16 6,973 6,963 330,73 330,73 2306,18029 2302,87299 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-17 6,97 6,96 330,09 330,09 2300,7273 2297,4264 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-18 6,965 6,955 332,05 332,05 2312,72825 2309,40775 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-21 6,978 6,968 332,18 332,18 2317,95204 2314,63024 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-22 6,905 6,895 334,31 334,31 2308,41055 2305,06745 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-23 6,895 6,885 333,32 333,32 2298,2414 2294,9082 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-24 6,858 6,848 335,63 335,63 2301,75054 2298,39424 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-25 6,885 6,875 338,35 338,35 2329,53975 2326,15625 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-02-28 6,828 6,818 341,91 341,91 2334,56148 2331,14238 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-01 6,87 6,86 342,54 342,54 2353,2498 2349,8244 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-02 6,888 6,878 339,35 339,35 2337,4428 2334,0493 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-03 6,903 6,893 339,76 339,76 2345,36328 2341,96568 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-04 6,9 6,89 338,74 338,74 2337,306 2333,9186 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-07 6,84 6,83 341,49 341,49 2335,7916 2332,3767 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-08 6,825 6,815 342,28 342,28 2336,061 2332,6382 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-09 6,76 6,75 342,6 342,6 2315,976 2312,55 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-10 6,745 6,735 339,31 339,31 2288,64595 2285,25285 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-11 6,765 6,755 339,89 339,89 2299,35585 2295,95695 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-14 6,76 6,75 337,37 337,37 2280,6212 2277,2475 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-15 6,815 6,805 330,97 330,97 2255,56055 2252,25085 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-16 6,81 6,8 329,46 329,46 2243,6226 2240,328 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-17 6,795 6,785 326,49 326,49 2218,49955 2215,23465 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-18 6,828 6,818 326,44 326,44 2228,93232 2225,66792 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-21 6,908 6,898 324,83 324,83 2243,92564 2240,67734 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-22 6,928 6,918 321,86 321,86 2229,84608 2226,62748 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-23 6,973 6,963 318,9 318,9 2223,6897 2220,5007 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-24 7,008 6,998 314,26 314,26 2202,33408 2199,19148 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-29 7,055 7,045 311,77 311,77 2199,53735 2196,41965 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-30 7,053 7,043 310,31 310,31 2188,61643 2185,51333 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-03-31 7,065 7,055 314,66 314,66 2223,0729 2219,9263 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-01 7,07 7,06 319,52 319,52 2259,0064 2255,8112 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-04 7,113 7,103 319,13 319,13 2269,97169 2266,78039 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-05 7,163 7,153 317,18 317,18 2271,96034 2268,78854 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-06 7,125 7,115 319,47 319,47 2276,22375 2273,02905 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-07 7,083 7,073 319,06 319,06 2259,90198 2256,71138 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-08 7,153 7,143 321,16 321,16 2297,25748 2294,04588 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-11 7,098 7,088 320,85 320,85 2277,3933 2274,1848 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-12 7,048 7,038 320,89 320,89 2261,63272 2258,42382 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-13 7,075 7,065 322,06 322,06 2278,5745 2275,3539 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-14 7,12 7,11 317,66 317,66 2261,7392 2258,5626 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-15 7,17 7,16 311,47 311,47 2233,2399 2230,1252 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-18 7,08 7,07 305,26 305,26 2161,2408 2158,1882 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-19 7,068 7,058 305,56 305,56 2159,69808 2156,64248 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-20 7,043 7,033 310,16 310,16 2184,45688 2181,35528 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-21 7,025 7,015 309,41 309,41 2173,60525 2170,51115 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-22 7,023 7,013 311,47 311,47 2187,45381 2184,33911 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-25 7,04 7,03 310,87 310,87 2188,5248 2185,4161 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-26 7,035 7,025 312,49 312,49 2198,36715 2195,24225 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-27 7,085 7,075 311,06 311,06 2203,8601 2200,7495 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-28 7,085 7,075 309,96 309,96 2196,0666 2192,967 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-04-29 7,08 7,07 305,97 305,97 2166,2676 2163,2079 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-02 7,15 7,14 306,92 306,92 2194,478 2191,4088 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-03 7,178 7,168 308,02 308,02 2210,96756 2207,88736 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-04 7,11 7,1 311,21 311,21 2212,7031 2209,591 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-06 7,085 7,075 318,76 318,76 2258,4146 2255,227 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-09 7,168 7,158 318,53 318,53 2283,22304 2280,03774 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-10 7,178 7,168 318,4 318,4 2285,4752 2282,2912 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-11 7,15 7,14 315,21 315,21 2253,7515 2250,5994 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-12 7,243 7,233 314,83 314,83 2280,31369 2277,16539 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-13 7,265 7,255 313,39 313,39 2276,77835 2273,64445 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-17 7,313 7,303 311,65 311,65 2279,09645 2275,97995 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-18 7,3 7,29 312,13 312,13 2278,549 2275,4277 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-19 7,26 7,25 317,91 317,91 2308,0266 2304,8475 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-20 7,28 7,27 318,27 318,27 2317,0056 2313,8229 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-23 7,32 7,31 316,31 316,31 2315,3892 2312,2261 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-24 7,295 7,285 316,39 316,39 2308,06505 2304,90115 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-25 7,298 7,288 316,08 316,08 2306,75184 2303,59104 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-26 7,33 7,32 316,73 316,73 2321,6309 2318,4636 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-27 7,338 7,328 319,11 319,11 2341,62918 2338,43808 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-30 7,338 7,328 321,58 321,58 2359,75404 2356,53824 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-05-31 7,403 7,393 321,94 321,94 2383,32182 2380,10242 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-01 7,428 7,418 320 320 2376,96 2373,76 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-02 7,473 7,463 321,01 321,01 2398,90773 2395,69763 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-03 7,438 7,428 324,35 324,35 2412,5153 2409,2718 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-07 7,448 7,438 323,72 323,72 2411,06656 2407,82936 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-08 7,435 7,425 323,38 323,38 2404,3303 2401,0965 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-09 7,523 7,513 322,44 322,44 2425,71612 2422,49172 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-10 7,525 7,515 322,58 322,58 2427,4145 2424,1887 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-13 7,643 7,633 323,14 323,14 2469,75902 2466,52762 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-14 7,663 7,653 322,78 322,78 2473,46314 2470,23534 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-15 7,693 7,683 325,9 325,9 2507,1487 2503,8897 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-16 7,678 7,668 327,49 327,49 2514,46822 2511,19332 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-17 7,643 7,633 329,9 329,9 2521,4257 2518,1267 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-20 7,543 7,533 330,86 330,86 2495,67698 2492,36838 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-21 7,648 7,638 329,55 329,55 2520,3984 2517,1029 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-22 7,608 7,598 331,62 331,62 2522,96496 2519,64876 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-27 7,73 7,72 328,42 328,42 2538,6866 2535,4024 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-28 7,76 7,75 328,6 328,6 2549,936 2546,65 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-29 7,833 7,823 327,78 327,78 2567,50074 2564,22294 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-06-30 7,823 7,813 329,21 329,21 2575,40983 2572,11773 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-01 7,858 7,848 330,08 330,08 2593,76864 2590,46784 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-04 7,945 7,935 330,06 330,06 2622,3267 2619,0261 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-05 7,963 7,953 327,68 327,68 2609,31584 2606,03904 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-06 7,895 7,885 327,43 327,43 2585,05985 2581,78555 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-07 7,878 7,868 326 326 2568,228 2564,968 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-08 7,913 7,903 325 325 2571,725 2568,475 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-11 7,89 7,88 329,86 329,86 2602,5954 2599,2968 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-12 7,77 7,76 333,08 333,08 2588,0316 2584,7008 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-13 7,703 7,693 335,23 335,23 2582,27669 2578,92439 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-14 7,76 7,75 337 337 2615,12 2611,75 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-15 7,76 7,75 337,38 337,38 2618,0688 2614,695 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-18 7,78 7,77 336,26 336,26 2616,1028 2612,7402 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-19 7,878 7,868 336,95 336,95 2654,4921 2651,1226 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-20 7,818 7,808 338,39 338,39 2645,53302 2642,14912 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-21 7,775 7,765 340,54 340,54 2647,6985 2644,2931 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-22 7,758 7,748 342,85 342,85 2659,8303 2656,4018 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-25 7,838 7,828 342,92 342,92 2687,80696 2684,37776 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-26 7,818 7,808 339,94 339,94 2657,65092 2654,25152 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-27 7,905 7,895 341,06 341,06 2696,0793 2692,6687 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-28 7,848 7,838 343,87 343,87 2698,69176 2695,25306 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-07-29 7,748 7,738 347,53 347,53 2692,66244 2689,18714 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-01 7,72 7,71 350,11 350,11 2702,8492 2699,3481 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-02 7,7 7,69 353,79 353,79 2724,183 2720,6451 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-03 7,685 7,675 356,66 356,66 2740,9321 2737,3655 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-04 7,618 7,608 356,77 356,77 2717,87386 2714,30616 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-05 7,548 7,538 355,71 355,71 2684,89908 2681,34198 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-08 7,558 7,548 352,5 352,5 2664,195 2660,67 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-09 7,548 7,538 353,89 353,89 2671,16172 2667,62282 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-10 7,558 7,548 357,8 357,8 2704,2524 2700,6744 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-11 7,523 7,513 360,28 360,28 2710,38644 2706,78364 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-12 7,46 7,45 358,38 358,38 2673,5148 2669,931 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-16 7,523 7,513 355,41 355,41 2673,74943 2670,19533 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-17 7,605 7,595 353,67 353,67 2689,66035 2686,12365 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-18 7,61 7,6 351,18 351,18 2672,4798 2668,968 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-19 7,698 7,688 347,95 347,95 2678,5191 2675,0396 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-22 7,69 7,68 349,17 349,17 2685,1173 2681,6256 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-23 7,663 7,653 351,3 351,3 2692,0119 2688,4989 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-24 7,673 7,663 346,41 346,41 2658,00393 2654,53983 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-25 7,588 7,578 345,37 345,37 2620,66756 2617,21386 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-26 7,578 7,568 347,45 347,45 2632,9761 2629,5016 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-29 7,573 7,563 342,26 342,26 2591,93498 2588,51238 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-30 7,633 7,623 344,57 344,57 2630,10281 2626,65711 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-08-31 7,668 7,658 345,59 345,59 2649,98412 2646,52822 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-01 7,568 7,558 351,03 351,03 2656,59504 2653,08474 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-02 7,435 7,425 355,37 355,37 2642,17595 2638,62225 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-05 7,41 7,4 357,73 357,73 2650,7793 2647,202 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-06 7,485 7,475 358,49 358,49 2683,29765 2679,71275 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-07 7,43 7,42 361,28 361,28 2684,3104 2680,6976 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-08 7,498 7,488 361,7 361,7 2712,0266 2708,4096 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-09 7,523 7,513 362,78 362,78 2729,19394 2725,56614 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-12 7,555 7,545 367,06 367,06 2773,1383 2769,4677 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-13 7,57 7,56 367,3 367,3 2780,461 2776,788 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-14 7,61 7,6 365,87 365,87 2784,2707 2780,612 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-15 7,658 7,648 366,25 366,25 2804,7425 2801,08 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-16 7,613 7,603 368,18 368,18 2802,95434 2799,27254 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-19 7,698 7,688 369,75 369,75 2846,3355 2842,638 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-20 7,688 7,678 372,25 372,25 2861,858 2858,1355 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-21 7,663 7,653 373,13 373,13 2859,29519 2855,56389 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-22 7,648 7,638 374,43 374,43 2863,64064 2859,89634 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-23 7,733 7,723 370,02 370,02 2861,36466 2857,66446 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-26 7,798 7,788 373,07 373,07 2909,19986 2905,46916 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-27 7,825 7,815 375,03 375,03 2934,60975 2930,85945 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-28 7,81 7,8 375,48 375,48 2932,4988 2928,744 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-29 7,785 7,775 378,73 378,73 2948,41305 2944,62575 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-09-30 7,785 7,775 380,96 380,96 2965,7736 2961,964 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-03 7,783 7,773 381,51 381,51 2969,29233 2965,47723 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-04 7,82 7,81 385,69 385,69 3016,0958 3012,2389 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-05 7,795 7,785 383,59 383,59 2990,08405 2986,24815 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-06 7,713 7,703 374,25 374,25 2886,59025 2882,84775 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-07 7,683 7,673 368,41 368,41 2830,49403 2826,80993 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-10 7,698 7,688 372,48 372,48 2867,35104 2863,62624 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-11 7,77 7,76 374,23 374,23 2907,7671 2904,0248 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-12 7,805 7,795 373,08 373,08 2911,8894 2908,1586 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-13 7,83 7,82 366,61 366,61 2870,5563 2866,8902 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-14 7,833 7,823 363,09 363,09 2844,08397 2840,45307 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-17 7,835 7,825 360,48 360,48 2824,3608 2820,756 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-18 7,893 7,883 362,48 362,48 2861,05464 2857,42984 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-19 7,96 7,95 355,44 355,44 2829,3024 2825,748 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-20 7,93 7,92 355,53 355,53 2819,3529 2815,7976 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-21 7,883 7,873 355,4 355,4 2801,6182 2798,0642 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-24 7,995 7,985 355,64 355,64 2843,3418 2839,7854 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-25 7,99 7,98 359,93 359,93 2875,8407 2872,2414 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-26 7,868 7,858 360,33 360,33 2835,07644 2831,47314 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-27 7,868 7,858 359,34 359,34 2827,28712 2823,69372 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-28 7,825 7,815 353,9 353,9 2769,2675 2765,7285 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-10-31 7,905 7,895 358,94 358,94 2837,4207 2833,8313 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-02 7,98 7,97 371,17 371,17 2961,9366 2958,2249 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-03 8,01 8 373,38 373,38 2990,7738 2987,04 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-04 8,028 8,018 374,9 374,9 3009,6972 3005,9482 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-07 8,135 8,125 372,34 372,34 3028,9859 3025,2625 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-08 8,17 8,16 373,15 373,15 3048,6355 3044,904 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-09 8,12 8,11 375,59 375,59 3049,7908 3046,0349 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-10 8,173 8,163 375,87 375,87 3071,98551 3068,22681 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-11 8,235 8,225 380,16 380,16 3130,6176 3126,816 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-14 8,133 8,123 380,43 380,43 3094,03719 3090,23289 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-15 8,185 8,175 378,9 378,9 3101,2965 3097,5075 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-16 8,21 8,2 379,22 379,22 3113,3962 3109,604 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-17 8,258 8,248 380,88 380,88 3145,30704 3141,49824 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-18 8,223 8,213 385,46 385,46 3169,63758 3165,78298 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-21 8,123 8,113 384,58 384,58 3123,94334 3120,09754 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-22 8,15 8,14 383,35 383,35 3124,3025 3120,469 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-23 8,048 8,038 387,23 387,23 3116,42704 3112,55474 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-24 8,053 8,043 390,12 390,12 3141,63636 3137,73516 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-25 8,078 8,068 391,04 391,04 3158,82112 3154,91072 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-28 8,118 8,108 392,61 392,61 3187,20798 3183,28188 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-29 8,015 8,005 390,86 390,86 3132,7429 3128,8343 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-11-30 8,088 8,078 392,2 392,2 3172,1136 3168,1916 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-01 8,083 8,073 393,1 393,1 3177,4273 3173,4963 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-02 8,103 8,093 396,6 396,6 3213,6498 3209,6838 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-05 8,045 8,035 399,78 399,78 3216,2301 3212,2323 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-06 7,993 7,983 402,19 402,19 3214,70467 3210,68277 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-07 8,015 8,005 406,04 406,04 3254,4106 3250,3502 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-08 7,988 7,978 404,31 404,31 3229,62828 3225,58518 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-12 7,953 7,943 405,15 405,15 3222,15795 3218,10645 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-13 7,905 7,895 407,09 407,09 3218,04645 3213,97555 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-14 7,848 7,838 407,61 407,61 3198,92328 3194,84718 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-15 7,858 7,848 407,3 407,3 3200,5634 3196,4904 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-16 7,903 7,893 405,64 405,64 3205,77292 3201,71652 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-19 7,865 7,855 407,75 407,75 3206,95375 3202,87625 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-20 7,848 7,838 406,78 406,78 3192,40944 3188,34164 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-21 7,948 7,938 408,72 408,72 3248,50656 3244,41936 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-22 7,98 7,97 410,53 410,53 3276,0294 3271,9241 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-23 7,955 7,945 413,14 413,14 3286,5287 3282,3973 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-27 8,01 8 413,73 413,73 3313,9773 3309,84 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-28 7,915 7,905 413,08 413,08 3269,5282 3265,3974 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-29 7,938 7,928 413,35 413,35 3281,1723 3277,0388 404236 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Emerging Markets USD 2005-12-30 7,958 7,948 415,89 415,89 3309,65262 3305,49372 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-04 9,0345 9,0295 354,61 354,61 3203,724045 3201,950995 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-05 9,0615 9,0565 354,21 354,21 3209,673915 3207,902865 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-07 9,0615 9,0565 355,07 355,07 3217,466805 3215,691455 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-10 9,08619 9,08119 355,46 355,46 3229,7770974 3227,9997974 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-11 9,08619 9,08119 355,83 355,83 3233,1389877 3231,3598377 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-12 9,0455 9,0405 355,73 355,73 3217,755715 3215,977065 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-13 9,0505 9,0455 355,75 355,75 3219,715375 3217,936625 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-14 9,0455 9,0405 356,62 356,62 3225,80621 3224,02311 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-17 9,0685 9,0635 356,79 356,79 3235,550115 3233,766165 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-18 9,0585 9,0535 357,06 357,06 3234,42801 3232,64271 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-19 9,0225 9,0175 357,19 357,19 3222,746775 3220,960825 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-20 9,0315 9,0265 357,47 357,47 3228,490305 3226,702955 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-21 9,0505 9,0455 356,44 356,44 3225,96022 3224,17802 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-24 9,0655 9,0605 356,72 356,72 3233,84516 3232,06156 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-25 9,0715 9,0665 357,36 357,36 3241,79124 3240,00444 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-26 9,0885 9,0835 357,43 357,43 3248,502555 3246,715405 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-27 9,0675 9,0625 357,08 357,08 3237,8229 3236,0375 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-28 9,0955 9,0905 356,52 356,52 3242,72766 3240,94506 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-01-31 9,1075 9,1025 357,38 357,38 3254,83835 3253,05145 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-01 9,1035 9,0985 357,74 357,74 3256,68609 3254,89739 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-02 9,0905 9,0855 357,79 357,79 3252,489995 3250,701045 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-03 9,0695 9,0645 357,73 357,73 3244,432235 3242,643585 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-04 9,0895 9,0845 357,43 357,43 3248,859985 3247,072835 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-07 9,0755 9,0705 358,84 358,84 3256,65242 3254,85822 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-08 9,0895 9,0845 359,23 359,23 3265,221085 3263,424935 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-09 9,0695 9,0645 359,26 359,26 3258,30857 3256,51227 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-10 9,0805 9,0755 359,95 359,95 3268,525975 3266,726225 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-11 9,0935 9,0885 359,93 359,93 3273,023455 3271,223805 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-14 9,1105 9,1055 359,37 359,37 3274,040385 3272,243535 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-15 9,0765 9,0715 358,92 358,92 3257,73738 3255,94278 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-16 9,0705 9,0655 358,54 358,54 3252,13707 3250,34437 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-17 9,0925 9,0875 358,01 358,01 3255,205925 3253,415875 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-18 9,0945 9,0895 357,52 357,52 3251,46564 3249,67804 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-21 9,1185 9,1135 355,26 355,26 3239,43831 3237,66201 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-22 9,0975 9,0925 354,89 354,89 3228,611775 3226,837325 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-23 9,1045 9,0995 354,9 354,9 3231,18705 3229,41255 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-24 9,0715 9,0665 355,04 355,04 3220,74536 3218,97016 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-25 9,0845 9,0795 354,19 354,19 3217,639055 3215,868105 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-02-28 9,0505 9,0455 354,45 354,45 3207,949725 3206,177475 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-01 9,0565 9,0515 354,89 354,89 3214,061285 3212,286835 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-02 9,0645 9,0595 354,29 354,29 3211,461705 3209,690255 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-03 9,0675 9,0625 353,23 353,23 3202,913025 3201,146875 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-04 9,0415 9,0365 353,54 353,54 3196,53191 3194,76421 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-07 9,0425 9,0375 355,13 355,13 3211,263025 3209,487375 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-08 9,0345 9,0295 355,58 355,58 3212,48751 3210,70961 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-09 9,0365 9,0315 354,91 354,91 3207,144215 3205,369665 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-10 9,0655 9,0605 353,94 353,94 3208,64307 3206,87337 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-11 9,0795 9,0745 353,4 353,4 3208,6953 3206,9283 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-14 9,0695 9,0645 353,55 353,55 3206,521725 3204,753975 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-15 9,1035 9,0985 353,62 353,62 3219,17967 3217,41157 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-16 9,0975 9,0925 354,7 354,7 3226,88325 3225,10975 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-17 9,1045 9,0995 355,21 355,21 3234,009445 3232,233395 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-18 9,1035 9,0985 354,84 354,84 3230,28594 3228,51174 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-21 9,1265 9,1215 354,5 354,5 3235,34425 3233,57175 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-22 9,1265 9,1215 353,99 353,99 3230,689735 3228,919785 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-23 9,1165 9,1115 354,71 354,71 3233,713715 3231,940165 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-24 9,1135 9,1085 353,56 353,56 3222,16906 3220,40126 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-29 9,1315 9,1265 354,45 354,45 3236,660175 3234,887925 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-30 9,1425 9,1375 354,59 354,59 3241,839075 3240,066125 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-03-31 9,1405 9,1355 355,05 355,05 3245,334525 3243,559275 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-01 9,1645 9,1595 356,04 356,04 3262,92858 3261,14838 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-04 9,1695 9,1645 356,46 356,46 3268,55997 3266,77767 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-05 9,1745 9,1695 356,8 356,8 3273,4616 3271,6776 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-06 9,1705 9,1655 356,6 356,6 3270,2003 3268,4173 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-07 9,1505 9,1455 356,73 356,73 3264,257865 3262,474215 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-08 9,1625 9,1575 357,31 357,31 3273,852875 3272,066325 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-11 9,1705 9,1655 356,63 356,63 3270,475415 3268,692265 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-12 9,1525 9,1475 357,18 357,18 3269,08995 3267,30405 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-13 9,1495 9,1445 357,44 357,44 3270,39728 3268,61008 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-14 9,1685 9,1635 357,82 357,82 3280,67267 3278,88357 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-15 9,1925 9,1875 357,53 357,53 3286,594525 3284,806875 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-18 9,1805 9,1755 358,1 358,1 3287,53705 3285,74655 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-19 9,2035 9,1985 358,69 358,69 3301,203415 3299,409965 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-20 9,1915 9,1865 359,3 359,3 3302,50595 3300,70945 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-21 9,1855 9,1805 359,04 359,04 3297,96192 3296,16672 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-22 9,1625 9,1575 358,95 358,95 3288,879375 3287,084625 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-25 9,1685 9,1635 359,19 359,19 3293,233515 3291,437565 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-26 9,1375 9,1325 359,67 359,67 3286,484625 3284,686275 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-27 9,1465 9,1415 359,73 359,73 3290,270445 3288,471795 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-28 9,1505 9,1455 360,27 360,27 3296,650635 3294,849285 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-04-29 9,1705 9,1655 360,56 360,56 3306,51548 3304,71268 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-02 9,1935 9,1885 360,75 360,75 3316,555125 3314,751375 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-03 9,2245 9,2195 360,77 360,77 3327,922865 3326,119015 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-04 9,1915 9,1865 361,29 361,29 3320,797035 3318,990585 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-06 9,1715 9,1665 360,75 360,75 3308,618625 3306,814875 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-09 9,1815 9,1765 360,01 360,01 3305,431815 3303,631765 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-10 9,1985 9,1935 360,64 360,64 3317,34704 3315,54384 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-11 9,2105 9,2055 361,85 361,85 3332,819425 3331,010175 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-12 9,2315 9,2265 362,39 362,39 3345,403285 3343,591335 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-13 9,2045 9,1995 362,21 362,21 3333,961945 3332,150895 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-17 9,2325 9,2275 362,37 362,37 3345,581025 3343,769175 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-18 9,2095 9,2045 362,43 362,43 3337,799085 3335,986935 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-19 9,1905 9,1855 363,05 363,05 3336,611025 3334,795775 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-20 9,1955 9,1905 362,78 362,78 3335,94349 3334,12959 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-23 9,1805 9,1755 362,15 362,15 3324,718075 3322,907325 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-24 9,1815 9,1765 363,13 363,13 3334,078095 3332,262445 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-25 9,1785 9,1735 363,8 363,8 3339,1383 3337,3193 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-26 9,1945 9,1895 364,12 364,12 3347,90134 3346,08074 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-27 9,1955 9,1905 363,3 363,3 3340,72515 3338,90865 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-30 9,1905 9,1855 362,99 362,99 3336,059595 3334,244645 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-05-31 9,1665 9,1615 362,98 362,98 3327,25617 3325,44127 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-01 9,1455 9,1405 364,25 364,25 3331,248375 3329,427125 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-02 9,1565 9,1515 365,26 365,26 3344,50319 3342,67689 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-03 9,1315 9,1265 365,53 365,53 3337,837195 3336,009545 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-07 9,1455 9,1405 365,8 365,8 3345,4239 3343,5949 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-08 9,1455 9,1405 367,07 367,07 3357,038685 3355,203335 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-09 9,1965 9,1915 367,92 367,92 3383,57628 3381,73668 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-10 9,1975 9,1925 367,68 367,68 3381,7368 3379,8984 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-13 9,2365 9,2315 367,2 367,2 3391,6428 3389,8068 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-14 9,2985 9,2935 366,54 366,54 3408,27219 3406,43949 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-15 9,2695 9,2645 366,1 366,1 3393,56395 3391,73345 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-16 9,2695 9,2645 364,21 364,21 3376,044595 3374,223545 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-17 9,2695 9,2645 363,67 363,67 3371,039065 3369,220715 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-20 9,2255 9,2205 364,56 364,56 3363,24828 3361,42548 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-21 9,2725 9,2675 364,5 364,5 3379,82625 3378,00375 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-22 9,2615 9,2565 366,21 366,21 3391,653915 3389,822865 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-27 9,3855 9,3805 367,4 367,4 3448,2327 3446,3957 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-28 9,3995 9,3945 368,01 368,01 3459,109995 3457,269945 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-29 9,4215 9,4165 366,94 366,94 3457,12521 3455,29051 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-06-30 9,4415 9,4365 366,77 366,77 3462,858955 3461,025105 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-01 9,4595 9,4545 367,43 367,43 3475,704085 3473,866935 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-04 9,4795 9,4745 367,01 367,01 3479,071295 3477,236245 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-05 9,4575 9,4525 366,63 366,63 3467,403225 3465,570075 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-06 9,4195 9,4145 365,99 365,99 3447,442805 3445,612855 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-07 9,3965 9,3915 365,78 365,78 3437,05177 3435,22287 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-08 9,4175 9,4125 366,56 366,56 3452,0788 3450,246 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-11 9,4665 9,4615 366,63 366,63 3470,702895 3468,869745 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-12 9,4645 9,4595 365,82 365,82 3462,30339 3460,47429 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-13 9,3915 9,3865 365,63 365,63 3433,814145 3431,985995 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-14 9,3675 9,3625 364,92 364,92 3418,3881 3416,5635 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-15 9,4055 9,4005 364,47 364,47 3428,022585 3426,200235 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-18 9,3895 9,3845 364,33 364,33 3420,876535 3419,054885 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-19 9,4425 9,4375 365 365 3446,5125 3444,6875 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-20 9,4265 9,4215 364,49 364,49 3435,864985 3434,042535 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-21 9,4625 9,4575 364,28 364,28 3446,9995 3445,1781 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-22 9,4495 9,4445 364,42 364,42 3443,58679 3441,76469 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-25 9,4275 9,4225 365,77 365,77 3448,296675 3446,467825 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-26 9,4155 9,4105 366,25 366,25 3448,426875 3446,595625 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-27 9,4725 9,4675 365,31 365,31 3460,398975 3458,572425 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-28 9,4515 9,4465 366,03 366,03 3459,532545 3457,702395 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-07-29 9,3885 9,3835 365,81 365,81 3434,407185 3432,578135 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-01 9,3985 9,3935 365,6 365,6 3436,0916 3434,2636 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-02 9,3995 9,3945 364,61 364,61 3427,151695 3425,328645 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-03 9,3755 9,3705 364,02 364,02 3412,86951 3411,04941 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-04 9,3735 9,3685 364,27 364,27 3414,484845 3412,663495 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-05 9,3355 9,3305 364,29 364,29 3400,829295 3399,007845 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-08 9,3335 9,3285 363,37 363,37 3391,513895 3389,697045 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-09 9,3455 9,3405 363,59 363,59 3397,930345 3396,112395 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-10 9,3535 9,3485 363,54 363,54 3400,37139 3398,55369 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-11 9,3365 9,3315 363,99 363,99 3398,392635 3396,572685 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-12 9,3025 9,2975 364,08 364,08 3386,8542 3385,0338 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-16 9,2995 9,2945 365,81 365,81 3401,850095 3400,021045 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-17 9,3405 9,3355 366,53 366,53 3423,573465 3421,740815 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-18 9,3365 9,3315 366,61 366,61 3422,854265 3421,021215 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-19 9,3395 9,3345 367,3 367,3 3430,39835 3428,56185 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-22 9,3655 9,3605 367,24 367,24 3439,38622 3437,55002 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-23 9,3715 9,3665 367,51 367,51 3444,119965 3442,282415 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-24 9,3365 9,3315 367,8 367,8 3433,9647 3432,1257 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-25 9,3335 9,3285 367,89 367,89 3433,701315 3431,861865 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-26 9,3415 9,3365 368,35 368,35 3440,941525 3439,099775 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-29 9,3295 9,3245 368,14 368,14 3434,56213 3432,72143 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-30 9,3285 9,3235 368,28 368,28 3435,49998 3433,65858 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-08-31 9,3585 9,3535 368,27 368,27 3446,454795 3444,613445 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-01 9,3365 9,3315 369,28 369,28 3447,78272 3445,93632 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-02 9,3025 9,2975 370,45 370,45 3446,111125 3444,258875 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-05 9,2845 9,2795 370,46 370,46 3439,53587 3437,68357 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-06 9,3225 9,3175 370,82 370,82 3456,96945 3455,11535 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-07 9,3075 9,3025 370,2 370,2 3445,6365 3443,7855 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-08 9,3255 9,3205 369,82 369,82 3448,75641 3446,90731 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-09 9,3445 9,3395 370,39 370,39 3461,109355 3459,257405 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-12 9,3015 9,2965 370,79 370,79 3448,903185 3447,049235 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-13 9,3015 9,2965 369,21 369,21 3434,206815 3432,360765 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-14 9,3365 9,3315 369,72 369,72 3451,89078 3450,04218 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-15 9,3425 9,3375 369,9 369,9 3455,79075 3453,94125 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-16 9,3465 9,3415 369,5 369,5 3453,53175 3451,68425 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-19 9,3355 9,3305 368,7 368,7 3441,99885 3440,15535 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-20 9,3395 9,3345 369,81 369,81 3453,840495 3451,991445 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-21 9,3405 9,3355 370,06 370,06 3456,54543 3454,69513 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-22 9,3405 9,3355 371,45 371,45 3469,528725 3467,671475 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-23 9,3695 9,3645 371,48 371,48 3480,58186 3478,72446 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-26 9,3815 9,3765 370,7 370,7 3477,72205 3475,86855 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-27 9,3885 9,3835 369,23 369,23 3466,515855 3464,669705 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-28 9,3935 9,3885 369,19 369,19 3467,986265 3466,140315 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-29 9,3845 9,3795 369,28 369,28 3465,50816 3463,66176 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-09-30 9,3435 9,3385 368,96 368,96 3447,37776 3445,53296 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-03 9,3025 9,2975 369,07 369,07 3433,273675 3431,428325 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-04 9,3185 9,3135 368,05 368,05 3429,673925 3427,833675 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-05 9,3105 9,3055 368,39 368,39 3429,895095 3428,053145 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-06 9,3015 9,2965 368,58 368,58 3428,34687 3426,50397 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-07 9,3385 9,3335 368,32 368,32 3439,55632 3437,71472 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-10 9,3465 9,3415 368,26 368,26 3441,94209 3440,10079 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-11 9,3395 9,3345 368,76 368,76 3444,03402 3442,19022 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-12 9,3375 9,3325 368,06 368,06 3436,76025 3434,91995 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-13 9,3815 9,3765 367,47 367,47 3447,419805 3445,582455 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-14 9,4135 9,4085 366,27 366,27 3447,882645 3446,051295 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-17 9,4575 9,4525 366,33 366,33 3464,565975 3462,734325 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-18 9,4625 9,4575 366,04 366,04 3463,6535 3461,8233 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-19 9,4605 9,4555 366,13 366,13 3463,772865 3461,942215 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-20 9,4935 9,4885 366,87 366,87 3482,880345 3481,045995 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-21 9,4915 9,4865 366,08 366,08 3474,64832 3472,81792 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-24 9,5455 9,5405 367,4 367,4 3507,0167 3505,1797 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-25 9,5465 9,5415 367,63 367,63 3509,579795 3507,741645 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-26 9,4975 9,4925 365,75 365,75 3473,710625 3471,881875 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-27 9,5355 9,5305 364,36 364,36 3474,35478 3472,53298 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-28 9,5135 9,5085 363,73 363,73 3460,345355 3458,526705 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-10-31 9,5495 9,5445 363,72 363,72 3473,34414 3471,52554 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-02 9,5855 9,5805 363,52 363,52 3484,52096 3482,70336 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-03 9,6515 9,6465 362,92 362,92 3502,72238 3500,90778 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-04 9,5875 9,5825 362,65 362,65 3476,906875 3475,093625 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-07 9,6075 9,6025 362,11 362,11 3478,971825 3477,161275 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-08 9,5685 9,5635 362,13 362,13 3465,040905 3463,230255 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-09 9,5575 9,5525 362,97 362,97 3469,085775 3467,270925 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-10 9,6105 9,6055 361,55 361,55 3474,676275 3472,868525 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-11 9,6365 9,6315 361,77 361,77 3486,196605 3484,387755 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-14 9,5505 9,5455 362,09 362,09 3458,140545 3456,330095 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-15 9,5805 9,5755 362,07 362,07 3468,811635 3467,001285 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-16 9,6235 9,6185 362,23 362,23 3485,920405 3484,109255 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-17 9,6355 9,6305 363,79 363,79 3505,298545 3503,479595 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-18 9,6085 9,6035 363,36 363,36 3491,34456 3489,52776 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-21 9,5915 9,5865 361,34 361,34 3465,79261 3463,98591 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-22 9,5585 9,5535 362,67 362,67 3466,581195 3464,767845 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-23 9,5155 9,5105 362,48 362,48 3449,17844 3447,36604 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-24 9,5125 9,5075 362,86 362,86 3451,70575 3449,89145 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-25 9,4965 9,4915 364,46 364,46 3461,09439 3459,27209 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-28 9,4835 9,4785 364,13 364,13 3453,226855 3451,406205 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-29 9,4785 9,4735 364,07 364,07 3450,837495 3449,017145 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-11-30 9,5295 9,5245 363,11 363,11 3460,256745 3458,441195 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-01 9,5165 9,5115 363,56 363,56 3459,81874 3458,00094 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-02 9,4905 9,4855 364,39 364,39 3458,243295 3456,421345 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-05 9,4065 9,4015 364,78 364,78 3431,30307 3429,47917 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-06 9,4185 9,4135 364,31 364,31 3431,253735 3429,432185 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-07 9,4255 9,4205 365,26 365,26 3442,75813 3440,93183 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-08 9,3965 9,3915 364,57 364,57 3425,682005 3423,859155 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-12 9,4315 9,4265 363,82 363,82 3431,36833 3429,54923 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-13 9,4295 9,4245 364,53 364,53 3437,335635 3435,512985 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-14 9,4365 9,4315 364,77 364,77 3442,152105 3440,328255 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-15 9,4345 9,4295 365,25 365,25 3445,951125 3444,124875 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-16 9,4765 9,4715 365,22 365,22 3461,00733 3459,18123 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-19 9,4535 9,4485 365,78 365,78 3457,90123 3456,07233 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-20 9,4015 9,3965 366,19 366,19 3442,735285 3440,904335 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-21 9,4485 9,4435 366,03 366,03 3458,434455 3456,604305 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-22 9,4365 9,4315 365,21 365,21 3446,304165 3444,478115 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-23 9,4425 9,4375 365,56 365,56 3451,8003 3449,9725 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-27 9,4915 9,4865 366,39 366,39 3477,590685 3475,758735 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-28 9,4345 9,4295 366,23 366,23 3455,196935 3453,365785 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-29 9,4115 9,4065 366,93 366,93 3453,361695 3451,527045 280925 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - EUR Bonds EUR 2005-12-30 9,4325 9,4275 366,62 366,62 3458,14315 3456,31005 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-04 9,0345 9,0295 127,49 127,49 1151,808405 1151,170955 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-05 9,0615 9,0565 127,77 127,77 1157,787855 1157,149005 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-07 9,0615 9,0565 127,44 127,44 1154,79756 1154,16036 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-10 9,08619 9,08119 128,38 128,38 1166,4850722 1165,8431722 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-11 9,08619 9,08119 128,32 128,32 1165,9399008 1165,2983008 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-12 9,0455 9,0405 127,26 127,26 1151,13033 1150,49403 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-13 9,0505 9,0455 126,2 126,2 1142,1731 1141,5421 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-14 9,0455 9,0405 126,78 126,78 1146,78849 1146,15459 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-17 9,0685 9,0635 127,39 127,39 1155,236215 1154,599265 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-18 9,0585 9,0535 127,89 127,89 1158,491565 1157,852115 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-19 9,0225 9,0175 128,13 128,13 1156,052925 1155,412275 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-20 9,0315 9,0265 128,04 128,04 1156,39326 1155,75306 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-21 9,0505 9,0455 127,52 127,52 1154,11976 1153,48216 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-24 9,0655 9,0605 127,19 127,19 1153,040945 1152,404995 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-25 9,0715 9,0665 127,06 127,06 1152,62479 1151,98949 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-26 9,0885 9,0835 127,86 127,86 1162,05561 1161,41631 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-27 9,0675 9,0625 127,76 127,76 1158,4638 1157,825 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-28 9,0955 9,0905 128,37 128,37 1167,589335 1166,947485 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-01-31 9,1075 9,1025 128,66 128,66 1171,77095 1171,12765 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-01 9,1035 9,0985 128,66 128,66 1171,25631 1170,61301 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-02 9,0905 9,0855 129,59 129,59 1178,037895 1177,389945 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-03 9,0695 9,0645 130,08 130,08 1179,76056 1179,11016 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-04 9,0895 9,0845 129,96 129,96 1181,27142 1180,62162 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-07 9,0755 9,0705 131,51 131,51 1193,519005 1192,861455 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-08 9,0895 9,0845 131,88 131,88 1198,72326 1198,06386 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-09 9,0695 9,0645 132,06 132,06 1197,71817 1197,05787 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-10 9,0805 9,0755 131,79 131,79 1196,719095 1196,060145 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-11 9,0935 9,0885 132,07 132,07 1200,978545 1200,318195 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-14 9,1105 9,1055 133,46 133,46 1215,88733 1215,22003 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-15 9,0765 9,0715 133,71 133,71 1213,618815 1212,950265 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-16 9,0705 9,0655 134,44 134,44 1219,43802 1218,76582 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-17 9,0925 9,0875 133,46 133,46 1213,48505 1212,81775 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-18 9,0945 9,0895 133,55 133,55 1214,570475 1213,902725 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-21 9,1185 9,1135 133,74 133,74 1219,50819 1218,83949 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-22 9,0975 9,0925 133,6 133,6 1215,426 1214,758 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-23 9,1045 9,0995 132,58 132,58 1207,07461 1206,41171 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-24 9,0715 9,0665 132,01 132,01 1197,528715 1196,868665 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-25 9,0845 9,0795 131,76 131,76 1196,97372 1196,31492 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-02-28 9,0505 9,0455 133,04 133,04 1204,07852 1203,41332 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-01 9,0565 9,0515 132,77 132,77 1202,431505 1201,767655 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-02 9,0645 9,0595 133,76 133,76 1212,46752 1211,79872 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-03 9,0675 9,0625 133,75 133,75 1212,778125 1212,109375 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-04 9,0415 9,0365 133,63 133,63 1208,215645 1207,547495 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-07 9,0425 9,0375 134,45 134,45 1215,764125 1215,091875 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-08 9,0345 9,0295 134,25 134,25 1212,881625 1212,210375 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-09 9,0365 9,0315 133,51 133,51 1206,463115 1205,795565 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-10 9,0655 9,0605 132,82 132,82 1204,07971 1203,41561 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-11 9,0795 9,0745 131,91 131,91 1197,676845 1197,017295 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-14 9,0695 9,0645 132,16 132,16 1198,62512 1197,96432 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-15 9,1035 9,0985 132,13 132,13 1202,845455 1202,184805 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-16 9,0975 9,0925 133,21 133,21 1211,877975 1211,211925 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-17 9,1045 9,0995 131,53 131,53 1197,514885 1196,857235 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-18 9,1035 9,0985 131,49 131,49 1197,019215 1196,361765 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-21 9,1265 9,1215 131,82 131,82 1203,05523 1202,39613 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-22 9,1265 9,1215 131,15 131,15 1196,940475 1196,284725 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-23 9,1165 9,1115 131,39 131,39 1197,816935 1197,159985 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-24 9,1135 9,1085 130,89 130,89 1192,866015 1192,211565 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-29 9,1315 9,1265 131,83 131,83 1203,805645 1203,146495 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-30 9,1425 9,1375 132,4 132,4 1210,467 1209,805 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-03-31 9,1405 9,1355 132,18 132,18 1208,19129 1207,53039 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-01 9,1645 9,1595 132,26 132,26 1212,09677 1211,43547 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-04 9,1695 9,1645 132,98 132,98 1219,36011 1218,69521 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-05 9,1745 9,1695 132,26 132,26 1213,41937 1212,75807 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-06 9,1705 9,1655 133,34 133,34 1222,79447 1222,12777 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-07 9,1505 9,1455 133,83 133,83 1224,611415 1223,942265 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-08 9,1625 9,1575 134,48 134,48 1232,173 1231,5006 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-11 9,1705 9,1655 134,76 134,76 1235,81658 1235,14278 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-12 9,1525 9,1475 134,55 134,55 1231,468875 1230,796125 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-13 9,1495 9,1445 134,13 134,13 1227,222435 1226,551785 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-14 9,1685 9,1635 134,65 134,65 1234,538525 1233,865275 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-15 9,1925 9,1875 134,38 134,38 1235,28815 1234,61625 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-18 9,1805 9,1755 132,57 132,57 1217,058885 1216,396035 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-19 9,2035 9,1985 130,15 130,15 1197,835525 1197,184775 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-20 9,1915 9,1865 131,01 131,01 1204,178415 1203,523365 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-21 9,1855 9,1805 130,33 130,33 1197,146215 1196,494565 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-22 9,1625 9,1575 130,11 130,11 1192,132875 1191,482325 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-25 9,1685 9,1635 131,3 131,3 1203,82405 1203,16755 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-26 9,1375 9,1325 131,86 131,86 1204,87075 1204,21145 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-27 9,1465 9,1415 131,18 131,18 1199,83787 1199,18197 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-28 9,1505 9,1455 129,46 129,46 1184,62373 1183,97643 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-04-29 9,1705 9,1655 129,67 129,67 1189,138735 1188,490385 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-02 9,1935 9,1885 129,79 129,79 1193,224365 1192,575415 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-03 9,2245 9,2195 130,31 130,31 1202,044595 1201,393045 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-04 9,1915 9,1865 130,84 130,84 1202,61586 1201,96166 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-06 9,1715 9,1665 132,12 132,12 1211,73858 1211,07798 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-09 9,1815 9,1765 133,04 133,04 1221,50676 1220,84156 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-10 9,1985 9,1935 132,61 132,61 1219,813085 1219,150035 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-11 9,2105 9,2055 131,54 131,54 1211,54917 1210,89147 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-12 9,2315 9,2265 131,34 131,34 1212,46521 1211,80851 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-13 9,2045 9,1995 132,22 132,22 1217,01899 1216,35789 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-17 9,2325 9,2275 131,84 131,84 1217,2128 1216,5536 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-18 9,2095 9,2045 131,8 131,8 1213,8121 1213,1531 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-19 9,1905 9,1855 133,4 133,4 1226,0127 1225,3457 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-20 9,1955 9,1905 134,46 134,46 1236,42693 1235,75463 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-23 9,1805 9,1755 134,51 134,51 1234,869055 1234,196505 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-24 9,1815 9,1765 135,01 135,01 1239,594315 1238,919265 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-25 9,1785 9,1735 135,02 135,02 1239,28107 1238,60597 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-26 9,1945 9,1895 135,02 135,02 1241,44139 1240,76629 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-27 9,1955 9,1905 135,81 135,81 1248,840855 1248,161805 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-30 9,1905 9,1855 135,78 135,78 1247,88609 1247,20719 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-05-31 9,1665 9,1615 136,4 136,4 1250,3106 1249,6286 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-01 9,1455 9,1405 136,3 136,3 1246,53165 1245,85015 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-02 9,1565 9,1515 138,19 138,19 1265,336735 1264,645785 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-03 9,1315 9,1265 138,05 138,05 1260,603575 1259,913325 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-07 9,1455 9,1405 137,29 137,29 1255,585695 1254,899245 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-08 9,1455 9,1405 138,95 138,95 1270,767225 1270,072475 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-09 9,1965 9,1915 138,68 138,68 1275,37062 1274,67722 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-10 9,1975 9,1925 138,69 138,69 1275,601275 1274,907825 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-13 9,2365 9,2315 139,4 139,4 1287,5681 1286,8711 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-14 9,2985 9,2935 139,93 139,93 1301,139105 1300,439455 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-15 9,2695 9,2645 140,25 140,25 1300,047375 1299,346125 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-16 9,2695 9,2645 139,38 139,38 1291,98291 1291,28601 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-17 9,2695 9,2645 140,29 140,29 1300,418155 1299,716705 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-20 9,2255 9,2205 140,27 140,27 1294,060885 1293,359535 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-21 9,2725 9,2675 140,21 140,21 1300,097225 1299,396175 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-22 9,2615 9,2565 140,9 140,9 1304,94535 1304,24085 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-27 9,3855 9,3805 140,76 140,76 1321,10298 1320,39918 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-28 9,3995 9,3945 139,36 139,36 1309,91432 1309,21752 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-29 9,4215 9,4165 140,65 140,65 1325,133975 1324,430725 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-06-30 9,4415 9,4365 140,95 140,95 1330,779425 1330,074675 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-01 9,4595 9,4545 140,44 140,44 1328,49218 1327,78998 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-04 9,4795 9,4745 141,55 141,55 1341,823225 1341,115475 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-05 9,4575 9,4525 141,61 141,61 1339,276575 1338,568525 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-06 9,4195 9,4145 141,37 141,37 1331,634715 1330,927865 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-07 9,3965 9,3915 142,12 142,12 1335,43058 1334,71998 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-08 9,4175 9,4125 139,49 139,49 1313,647075 1312,949625 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-11 9,4665 9,4615 141,38 141,38 1338,37377 1337,66687 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-12 9,4645 9,4595 141,93 141,93 1343,296485 1342,586835 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-13 9,3915 9,3865 141,55 141,55 1329,366825 1328,659075 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-14 9,3675 9,3625 142,31 142,31 1333,088925 1332,377375 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-15 9,4055 9,4005 143,15 143,15 1346,397325 1345,681575 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-18 9,3895 9,3845 142,85 142,85 1341,290075 1340,575825 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-19 9,4425 9,4375 142,34 142,34 1344,04545 1343,33375 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-20 9,4265 9,4215 142,99 142,99 1347,895235 1347,180285 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-21 9,4625 9,4575 144,45 144,45 1366,858125 1366,135875 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-22 9,4495 9,4445 142,38 142,38 1345,41981 1344,70791 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-25 9,4275 9,4225 142,48 142,48 1343,2302 1342,5178 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-26 9,4155 9,4105 142,52 142,52 1341,89706 1341,18446 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-27 9,4725 9,4675 142,75 142,75 1352,199375 1351,485625 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-28 9,4515 9,4465 143,24 143,24 1353,83286 1353,11666 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-07-29 9,3885 9,3835 143,23 143,23 1344,714855 1343,998705 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-01 9,3985 9,3935 143,16 143,16 1345,48926 1344,77346 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-02 9,3995 9,3945 143,38 143,38 1347,70031 1346,98341 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-03 9,3755 9,3705 144,42 144,42 1354,00971 1353,28761 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-04 9,3735 9,3685 144,23 144,23 1351,939905 1351,218755 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-05 9,3355 9,3305 143,26 143,26 1337,40373 1336,68743 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-08 9,3335 9,3285 142,66 142,66 1331,51711 1330,80381 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-09 9,3455 9,3405 143,44 143,44 1340,51852 1339,80132 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-10 9,3535 9,3485 144,17 144,17 1348,494095 1347,773245 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-11 9,3365 9,3315 145,64 145,64 1359,76786 1359,03966 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-12 9,3025 9,2975 145,22 145,22 1350,90905 1350,18295 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-16 9,2995 9,2945 144,8 144,8 1346,5676 1345,8436 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-17 9,3405 9,3355 144,46 144,46 1349,32863 1348,60633 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-18 9,3365 9,3315 144,53 144,53 1349,404345 1348,681695 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-19 9,3395 9,3345 144,2 144,2 1346,7559 1346,0349 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-22 9,3655 9,3605 145,45 145,45 1362,211975 1361,484725 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-23 9,3715 9,3665 145,44 145,44 1362,99096 1362,26376 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-24 9,3365 9,3315 144,64 144,64 1350,43136 1349,70816 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-25 9,3335 9,3285 144,08 144,08 1344,77068 1344,05028 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-26 9,3415 9,3365 142,97 142,97 1335,554255 1334,839405 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-29 9,3295 9,3245 142,32 142,32 1327,77444 1327,06284 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-30 9,3285 9,3235 142,67 142,67 1330,897095 1330,183745 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-08-31 9,3585 9,3535 142,72 142,72 1335,64512 1334,93152 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-01 9,3365 9,3315 143,95 143,95 1343,989175 1343,269425 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-02 9,3025 9,2975 145,04 145,04 1349,2346 1348,5094 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-05 9,2845 9,2795 144,99 144,99 1346,159655 1345,434705 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-06 9,3225 9,3175 145,93 145,93 1360,432425 1359,702775 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-07 9,3075 9,3025 147,09 147,09 1369,040175 1368,304725 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-08 9,3255 9,3205 147,42 147,42 1374,76521 1374,02811 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-09 9,3445 9,3395 147,3 147,3 1376,44485 1375,70835 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-12 9,3015 9,2965 147,93 147,93 1375,970895 1375,231245 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-13 9,3015 9,2965 148,16 148,16 1378,11024 1377,36944 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-14 9,3365 9,3315 147,13 147,13 1373,679245 1372,943595 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-15 9,3425 9,3375 147,54 147,54 1378,39245 1377,65475 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-16 9,3465 9,3415 147,54 147,54 1378,98261 1378,24491 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-19 9,3355 9,3305 148,44 148,44 1385,76162 1385,01942 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-20 9,3395 9,3345 149,02 149,02 1391,77229 1391,02719 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-21 9,3405 9,3355 149,26 149,26 1394,16303 1393,41673 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-22 9,3405 9,3355 148,06 148,06 1382,95443 1382,21413 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-23 9,3695 9,3645 147,35 147,35 1380,595825 1379,859075 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-26 9,3815 9,3765 147,83 147,83 1386,867145 1386,127995 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-27 9,3885 9,3835 149,76 149,76 1406,02176 1405,27296 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-28 9,3935 9,3885 149,31 149,31 1402,543485 1401,796935 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-29 9,3845 9,3795 150,28 150,28 1410,30266 1409,55126 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-09-30 9,3435 9,3385 150,01 150,01 1401,618435 1400,868385 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-03 9,3025 9,2975 150,77 150,77 1402,537925 1401,784075 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-04 9,3185 9,3135 152,11 152,11 1417,437035 1416,676485 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-05 9,3105 9,3055 152,46 152,46 1419,47883 1418,71653 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-06 9,3015 9,2965 150,99 150,99 1404,433485 1403,678535 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-07 9,3385 9,3335 148,74 148,74 1389,00849 1388,26479 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-10 9,3465 9,3415 148 148 1383,282 1382,542 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-11 9,3395 9,3345 148,37 148,37 1385,701615 1384,959765 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-12 9,3375 9,3325 148,72 148,72 1388,673 1387,9294 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-13 9,3815 9,3765 147,64 147,64 1385,08466 1384,34646 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-14 9,4135 9,4085 146,05 146,05 1374,841675 1374,111425 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-17 9,4575 9,4525 146,73 146,73 1387,698975 1386,965325 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-18 9,4625 9,4575 146,48 146,48 1386,067 1385,3346 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-19 9,4605 9,4555 146,13 146,13 1382,462865 1381,732215 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-20 9,4935 9,4885 143,83 143,83 1365,450105 1364,730955 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-21 9,4915 9,4865 144,41 144,41 1370,667515 1369,945465 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-24 9,5455 9,5405 143,73 143,73 1371,974715 1371,256065 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-25 9,5465 9,5415 145,3 145,3 1387,10645 1386,37995 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-26 9,4975 9,4925 145,08 145,08 1377,8973 1377,1719 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-27 9,5355 9,5305 145,43 145,43 1386,747765 1386,020615 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-28 9,5135 9,5085 143,94 143,94 1369,37319 1368,65349 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-10-31 9,5495 9,5445 144,5 144,5 1379,90275 1379,18025 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-02 9,5855 9,5805 148,19 148,19 1420,475245 1419,734295 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-03 9,6515 9,6465 148,9 148,9 1437,10835 1436,36385 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-04 9,5875 9,5825 150,81 150,81 1445,890875 1445,136825 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-07 9,6075 9,6025 150,66 150,66 1447,46595 1446,71265 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-08 9,5685 9,5635 151,27 151,27 1447,426995 1446,670645 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-09 9,5575 9,5525 151,3 151,3 1446,04975 1445,29325 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-10 9,6105 9,6055 151,41 151,41 1455,125805 1454,368755 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-11 9,6365 9,6315 151,25 151,25 1457,520625 1456,764375 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-14 9,5505 9,5455 153,09 153,09 1462,086045 1461,320595 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-15 9,5805 9,5755 153,01 153,01 1465,912305 1465,147255 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-16 9,6235 9,6185 152,59 152,59 1468,449865 1467,686915 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-17 9,6355 9,6305 151,57 151,57 1460,452735 1459,694885 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-18 9,6085 9,6035 152,1 152,1 1461,45285 1460,69235 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-21 9,5915 9,5865 152,78 152,78 1465,38937 1464,62547 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-22 9,5585 9,5535 153,25 153,25 1464,840125 1464,073875 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-23 9,5155 9,5105 153,52 153,52 1460,81956 1460,05196 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-24 9,5125 9,5075 154,04 154,04 1465,3055 1464,5353 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-25 9,4965 9,4915 153,68 153,68 1459,42212 1458,65372 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-28 9,4835 9,4785 154,08 154,08 1461,21768 1460,44728 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-29 9,4785 9,4735 153,17 153,17 1451,821845 1451,055995 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-11-30 9,5295 9,5245 153,44 153,44 1462,20648 1461,43928 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-01 9,5165 9,5115 152,75 152,75 1453,645375 1452,881625 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-02 9,4905 9,4855 155,35 155,35 1474,349175 1473,572425 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-05 9,4065 9,4015 156,38 156,38 1470,98847 1470,20657 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-06 9,4185 9,4135 155,76 155,76 1467,02556 1466,24676 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-07 9,4255 9,4205 156,81 156,81 1478,012655 1477,228605 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-08 9,3965 9,3915 156,79 156,79 1473,277235 1472,493285 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-12 9,4315 9,4265 156,87 156,87 1479,519405 1478,735055 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-13 9,4295 9,4245 156,94 156,94 1479,86573 1479,08103 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-14 9,4365 9,4315 157,26 157,26 1483,98399 1483,19769 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-15 9,4345 9,4295 156,63 156,63 1477,725735 1476,942585 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-16 9,4765 9,4715 156,32 156,32 1481,36648 1480,58488 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-19 9,4535 9,4485 157,34 157,34 1487,41369 1486,62699 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-20 9,4015 9,3965 157 157 1476,0355 1475,2505 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-21 9,4485 9,4435 157,51 157,51 1488,233235 1487,445685 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-22 9,4365 9,4315 158,2 158,2 1492,8543 1492,0633 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-23 9,4425 9,4375 157,8 157,8 1490,0265 1489,2375 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-27 9,4915 9,4865 157,96 157,96 1499,27734 1498,48754 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-29 9,4115 9,4065 158,03 158,03 1487,299345 1486,509195 810465 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - European Sustainable Equities EUR 2005-12-30 9,4325 9,4275 158,97 158,97 1499,484525 1498,689675 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-03 6,668 6,658 103,7 103,7 691,4716 690,4346 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-04 6,728 6,718 102,59 102,59 690,22552 689,19962 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-05 6,828 6,818 100,67 100,67 687,37476 686,36806 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-07 6,87 6,86 101,11 101,11 694,6257 693,6146 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-10 6,96091 6,95091 100,49 100,49 699,5018459 698,4969459 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-11 6,96091 6,95091 101,74 101,74 708,2029834 707,1855834 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-12 6,913 6,903 100,77 100,77 696,62301 695,61531 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-13 6,843 6,833 101 101 691,143 690,133 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-14 6,915 6,905 100,1 100,1 692,1915 691,1905 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-17 6,915 6,905 100,24 100,24 693,1596 692,1572 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-19 6,91 6,9 100,82 100,82 696,6662 695,658 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-20 6,96 6,95 100,89 100,89 702,1944 701,1855 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-21 6,978 6,968 99,91 99,91 697,17198 696,17288 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-24 6,933 6,923 98,44 98,44 682,48452 681,50012 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-25 6,95 6,94 97,31 97,31 676,3045 675,3314 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-26 6,995 6,985 97,11 97,11 679,28445 678,31335 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-27 6,93 6,92 99,25 99,25 687,8025 686,81 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-28 6,985 6,975 99,86 99,86 697,5221 696,5235 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-01-31 6,998 6,988 99,16 99,16 693,92168 692,93008 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-01 6,993 6,983 99,92 99,92 698,74056 697,74136 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-02 6,953 6,943 100,35 100,35 697,73355 696,73005 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-03 6,968 6,958 101,12 101,12 704,60416 703,59296 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-04 7,01 7 99,65 99,65 698,5465 697,55 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-07 7,065 7,055 100,49 100,49 709,96185 708,95695 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-08 7,123 7,113 100,13 100,13 713,22599 712,22469 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-09 7,1 7,09 99,55 99,55 706,805 705,8095 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-10 7,088 7,078 98,08 98,08 695,19104 694,21024 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-11 7,068 7,058 98,42 98,42 695,63256 694,64836 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-14 7,03 7,02 99,88 99,88 702,1564 701,1576 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-15 7,005 6,995 100,84 100,84 706,3842 705,3758 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-16 6,973 6,963 100,76 100,76 702,59948 701,59188 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-17 6,97 6,96 100,46 100,46 700,2062 699,2016 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-18 6,965 6,955 100,26 100,26 698,3109 697,3083 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-21 6,978 6,968 100,82 100,82 703,52196 702,51376 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-23 6,895 6,885 101,22 101,22 697,9119 696,8997 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-24 6,858 6,848 101,27 101,27 694,50966 693,49696 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-25 6,885 6,875 101,56 101,56 699,2406 698,225 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-02-28 6,828 6,818 102,69 102,69 701,16732 700,14042 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-01 6,87 6,86 99,03 99,03 680,3361 679,3458 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-02 6,888 6,878 99,58 99,58 685,90704 684,91124 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-03 6,903 6,893 99,48 99,48 686,71044 685,71564 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-04 6,9 6,89 98,97 98,97 682,893 681,9033 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-07 6,84 6,83 98,54 98,54 674,0136 673,0282 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-08 6,825 6,815 98,93 98,93 675,19725 674,20795 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-09 6,76 6,75 98,88 98,88 668,4288 667,44 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-10 6,745 6,735 98,46 98,46 664,1127 663,1281 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-11 6,765 6,755 98,88 98,88 668,9232 667,9344 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-14 6,76 6,75 98,32 98,32 664,6432 663,66 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-15 6,815 6,805 99 99 674,685 673,695 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-16 6,81 6,8 98,72 98,72 672,2832 671,296 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-17 6,795 6,785 98,12 98,12 666,7254 665,7442 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-18 6,828 6,818 97,55 97,55 666,0714 665,0959 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-21 6,908 6,898 97,61 97,61 674,28988 673,31378 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-22 6,928 6,918 97,39 97,39 674,71792 673,74402 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-23 6,973 6,963 97,69 97,69 681,19237 680,21547 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-24 7,008 6,998 97,65 97,65 684,3312 683,3547 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-29 7,055 7,045 97,16 97,16 685,4638 684,4922 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-30 7,053 7,043 96,13 96,13 678,00489 677,04359 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-03-31 7,065 7,055 96,93 96,93 684,81045 683,84115 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-01 7,07 7,06 97,65 97,65 690,3855 689,409 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-04 7,113 7,103 96,33 96,33 685,19529 684,23199 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-05 7,163 7,153 96,06 96,06 688,07778 687,11718 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-06 7,125 7,115 97,13 97,13 692,05125 691,07995 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-07 7,083 7,073 97,32 97,32 689,31756 688,34436 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-08 7,153 7,143 97,86 97,86 699,99258 699,01398 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-11 7,098 7,088 97,04 97,04 688,78992 687,81952 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-12 7,048 7,038 97,25 97,25 685,418 684,4455 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-13 7,075 7,065 97,68 97,68 691,086 690,1092 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-14 7,12 7,11 97,28 97,28 692,6336 691,6608 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-15 7,17 7,16 96,64 96,64 692,9088 691,9424 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-18 7,08 7,07 96,22 96,22 681,2376 680,2754 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-19 7,068 7,058 96,13 96,13 679,44684 678,48554 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-20 7,043 7,033 96,74 96,74 681,33982 680,37242 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-21 7,025 7,015 95,87 95,87 673,48675 672,52805 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-22 7,023 7,013 96,34 96,34 676,59582 675,63242 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-25 7,04 7,03 95,91 95,91 675,2064 674,2473 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-26 7,035 7,025 96,05 96,05 675,71175 674,75125 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-27 7,085 7,075 95,35 95,35 675,55475 674,60125 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-28 7,085 7,075 94,19 94,19 667,33615 666,39425 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-04-29 7,08 7,07 93,52 93,52 662,1216 661,1864 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-02 7,15 7,14 94,17 94,17 673,3155 672,3738 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-03 7,178 7,168 94,6 94,6 679,0388 678,0928 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-04 7,11 7,1 94,94 94,94 675,0234 674,074 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-06 7,085 7,075 95,9 95,9 679,4515 678,4925 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-09 7,168 7,158 96,11 96,11 688,91648 687,95538 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-10 7,178 7,168 96,81 96,81 694,90218 693,93408 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-11 7,15 7,14 96,66 96,66 691,119 690,1524 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-12 7,243 7,233 96,38 96,38 698,08034 697,11654 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-13 7,265 7,255 96,01 96,01 697,51265 696,55255 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-17 7,313 7,303 95,58 95,58 698,97654 698,02074 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-18 7,3 7,29 95,59 95,59 697,807 696,8511 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-19 7,26 7,25 96,37 96,37 699,6462 698,6825 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-20 7,28 7,27 96,74 96,74 704,2672 703,2998 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-23 7,32 7,31 96,27 96,27 704,6964 703,7337 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-24 7,295 7,285 96,58 96,58 704,5511 703,5853 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-25 7,298 7,288 96,13 96,13 701,55674 700,59544 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-26 7,33 7,32 95,36 95,36 698,9888 698,0352 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-27 7,338 7,328 96,16 96,16 705,62208 704,66048 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-30 7,338 7,328 96,82 96,82 710,46516 709,49696 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-05-31 7,403 7,393 96,82 96,82 716,75846 715,79026 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-01 7,428 7,418 96,23 96,23 714,79644 713,83414 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-02 7,473 7,463 96,79 96,79 723,31167 722,34377 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-03 7,438 7,428 96,79 96,79 719,92402 718,95612 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-07 7,448 7,438 95,11 95,11 708,37928 707,42818 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-08 7,435 7,425 97,22 97,22 722,8307 721,8585 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-09 7,523 7,513 96,74 96,74 727,77502 726,80762 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-10 7,525 7,515 97,42 97,42 733,0855 732,1113 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-13 7,643 7,633 97,51 97,51 745,26893 744,29383 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-14 7,663 7,653 97,23 97,23 745,07349 744,10119 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-15 7,693 7,683 98,06 98,06 754,37558 753,39498 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-16 7,678 7,668 97,78 97,78 750,75484 749,77704 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-17 7,643 7,633 100,59 100,59 768,80937 767,80347 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-20 7,543 7,533 100,4 100,4 757,3172 756,3132 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-21 7,648 7,638 100,31 100,31 767,17088 766,16778 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-22 7,608 7,598 100,71 100,71 766,20168 765,19458 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-27 7,73 7,72 101,1 101,1 781,503 780,492 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-28 7,76 7,75 100,51 100,51 779,9576 778,9525 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-29 7,833 7,823 101,79 101,79 797,32107 796,30317 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-06-30 7,823 7,813 101,87 101,87 796,92901 795,91031 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-01 7,858 7,848 101,95 101,95 801,1231 800,1036 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-04 7,945 7,935 101,57 101,57 806,97365 805,95795 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-06 7,895 7,885 102,14 102,14 806,3953 805,3739 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-07 7,878 7,868 101,9 101,9 802,7682 801,7492 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-08 7,913 7,903 102,05 102,05 807,52165 806,50115 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-11 7,89 7,88 103,58 103,58 817,2462 816,2104 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-12 7,77 7,76 104,19 104,19 809,5563 808,5144 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-13 7,703 7,693 104,86 104,86 807,73658 806,68798 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-14 7,76 7,75 104,51 104,51 810,9976 809,9525 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-15 7,76 7,75 106,44 106,44 825,9744 824,91 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-18 7,78 7,77 108,43 108,43 843,5854 842,5011 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-19 7,878 7,868 106,98 106,98 842,78844 841,71864 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-20 7,818 7,808 107,08 107,08 837,15144 836,08064 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-21 7,775 7,765 108,3 108,3 842,0325 840,9495 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-22 7,758 7,748 107,2 107,2 831,6576 830,5856 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-25 7,838 7,828 106,27 106,27 832,94426 831,88156 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-26 7,818 7,808 106,03 106,03 828,94254 827,88224 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-27 7,905 7,895 106,85 106,85 844,64925 843,58075 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-28 7,848 7,838 106,95 106,95 839,3436 838,2741 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-07-29 7,748 7,738 107,57 107,57 833,45236 832,37666 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-01 7,72 7,71 107,38 107,38 828,9736 827,8998 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-02 7,7 7,69 108,41 108,41 834,757 833,6729 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-03 7,685 7,675 108,69 108,69 835,28265 834,19575 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-04 7,618 7,608 108,75 108,75 828,4575 827,37 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-05 7,548 7,538 107,98 107,98 815,03304 813,95324 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-08 7,558 7,548 107,41 107,41 811,80478 810,73068 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-09 7,548 7,538 106,35 106,35 802,7298 801,6663 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-10 7,558 7,548 107,66 107,66 813,69428 812,61768 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-11 7,523 7,513 107,8 107,8 810,9794 809,9014 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-12 7,46 7,45 108,64 108,64 810,4544 809,368 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-16 7,523 7,513 108,66 108,66 817,44918 816,36258 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-17 7,605 7,595 108,23 108,23 823,08915 822,00685 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-18 7,61 7,6 108,94 108,94 829,0334 827,944 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-19 7,698 7,688 109,21 109,21 840,69858 839,60648 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-22 7,69 7,68 109,32 109,32 840,6708 839,5776 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-23 7,663 7,653 110,49 110,49 846,68487 845,57997 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-24 7,673 7,663 111,23 111,23 853,46779 852,35549 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-25 7,588 7,578 111,57 111,57 846,59316 845,47746 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-26 7,578 7,568 112,03 112,03 848,96334 847,84304 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-29 7,573 7,563 111,06 111,06 841,05738 839,94678 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-30 7,633 7,623 111,52 111,52 851,23216 850,11696 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-08-31 7,668 7,658 110,25 110,25 845,397 844,2945 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-01 7,568 7,558 111,87 111,87 846,63216 845,51346 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-02 7,435 7,425 112,67 112,67 837,70145 836,57475 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-05 7,41 7,4 112,35 112,35 832,5135 831,39 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-07 7,43 7,42 113,58 113,58 843,8994 842,7636 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-08 7,498 7,488 114,06 114,06 855,22188 854,08128 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-09 7,523 7,513 113,84 113,84 856,41832 855,27992 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-12 7,555 7,545 114,87 114,87 867,84285 866,69415 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-13 7,57 7,56 115,28 115,28 872,6696 871,5168 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-14 7,61 7,6 114,34 114,34 870,1274 868,984 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-15 7,658 7,648 113,85 113,85 871,8633 870,7248 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-16 7,613 7,603 113,7 113,7 865,5981 864,4611 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-19 7,698 7,688 113,71 113,71 875,33958 874,20248 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-20 7,688 7,678 113,37 113,37 871,58856 870,45486 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-21 7,663 7,653 113,37 113,37 868,75431 867,62061 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-22 7,648 7,638 111,37 111,37 851,75776 850,64406 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-23 7,733 7,723 110,89 110,89 857,51237 856,40347 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-26 7,798 7,788 110,72 110,72 863,39456 862,28736 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-27 7,825 7,815 111,38 111,38 871,5485 870,4347 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-28 7,81 7,8 111,18 111,18 868,3158 867,204 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-29 7,785 7,775 111,77 111,77 870,12945 869,01175 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-09-30 7,785 7,775 111,94 111,94 871,4529 870,3335 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-03 7,783 7,773 112,17 112,17 873,01911 871,89741 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-04 7,82 7,81 113,33 113,33 886,2406 885,1073 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-05 7,795 7,785 113,92 113,92 888,0064 886,8672 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-06 7,713 7,703 111,75 111,75 861,92775 860,81025 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-07 7,683 7,673 109,62 109,62 842,21046 841,11426 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-10 7,698 7,688 109,23 109,23 840,85254 839,76024 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-12 7,805 7,795 107,66 107,66 840,2863 839,2097 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-13 7,83 7,82 106,29 106,29 832,2507 831,1878 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-14 7,833 7,823 106,06 106,06 830,76798 829,70738 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-17 7,835 7,825 106,95 106,95 837,95325 836,88375 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-18 7,893 7,883 107,6 107,6 849,2868 848,2108 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-19 7,96 7,95 106,67 106,67 849,0932 848,0265 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-20 7,93 7,92 108,62 108,62 861,3566 860,2704 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-21 7,883 7,873 107,04 107,04 843,79632 842,72592 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-24 7,995 7,985 107,11 107,11 856,34445 855,27335 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-25 7,99 7,98 109,55 109,55 875,3045 874,209 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-26 7,868 7,858 109,03 109,03 857,84804 856,75774 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-27 7,868 7,858 107,85 107,85 848,5638 847,4853 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-28 7,825 7,815 106,01 106,01 829,52825 828,46815 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-10-31 7,905 7,895 105,99 105,99 837,85095 836,79105 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-02 7,98 7,97 106,91 106,91 853,1418 852,0727 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-03 8,01 8 108,24 108,24 867,0024 865,92 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-04 8,028 8,018 108,84 108,84 873,76752 872,67912 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-07 8,135 8,125 110,38 110,38 897,9413 896,8375 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-08 8,17 8,16 110,13 110,13 899,7621 898,6608 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-09 8,12 8,11 109,89 109,89 892,3068 891,2079 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-10 8,173 8,163 109,29 109,29 893,22717 892,13427 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-11 8,235 8,225 110,38 110,38 908,9793 907,8755 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-14 8,133 8,123 110,43 110,43 898,12719 897,02289 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-15 8,185 8,175 109,98 109,98 900,1863 899,0865 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-16 8,21 8,2 109,23 109,23 896,7783 895,686 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-17 8,258 8,248 109,34 109,34 902,92972 901,83632 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-18 8,223 8,213 110,13 110,13 905,59899 904,49769 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-21 8,123 8,113 110,52 110,52 897,75396 896,64876 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-22 8,15 8,14 111,25 111,25 906,6875 905,575 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-23 8,048 8,038 112,89 112,89 908,53872 907,40982 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-24 8,053 8,043 112,7 112,7 907,5731 906,4461 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-28 8,118 8,108 112,51 112,51 913,35618 912,23108 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-29 8,015 8,005 110,91 110,91 888,94365 887,83455 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-11-30 8,088 8,078 110,46 110,46 893,40048 892,29588 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-01 8,083 8,073 109,01 109,01 881,12783 880,03773 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-02 8,103 8,093 110,93 110,93 898,86579 897,75649 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-05 8,045 8,035 110,5 110,5 888,9725 887,8675 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-06 7,993 7,983 110,56 110,56 883,70608 882,60048 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-07 8,015 8,005 111,23 111,23 891,50845 890,39615 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-08 7,988 7,978 111,38 111,38 889,70344 888,58964 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-12 7,953 7,943 112,11 112,11 891,61083 890,48973 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-13 7,905 7,895 111,93 111,93 884,80665 883,68735 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-14 7,848 7,838 111,44 111,44 874,58112 873,46672 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-15 7,858 7,848 112,18 112,18 881,51044 880,38864 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-16 7,903 7,893 111,96 111,96 884,81988 883,70028 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-19 7,865 7,855 112,07 112,07 881,43055 880,30985 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-20 7,848 7,838 110,48 110,48 867,04704 865,94224 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-21 7,948 7,938 110,02 110,02 874,43896 873,33876 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-22 7,98 7,97 110,93 110,93 885,2214 884,1121 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-23 7,955 7,945 111,96 111,96 890,6418 889,5222 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-27 8,01 8 112,51 112,51 901,2051 900,08 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-28 7,915 7,905 111,44 111,44 882,0476 880,9332 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-29 7,938 7,928 111,11 111,11 881,99118 880,88008 688986 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Generics USD 2005-12-30 7,958 7,948 111,66 111,66 888,59028 887,47368 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-04 6,728 6,718 139,51 139,51 938,62328 937,22818 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-05 6,828 6,818 137,91 137,91 941,64948 940,27038 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-07 6,87 6,86 137,26 137,26 942,9762 941,6036 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-10 6,96091 6,95091 136,86 136,86 952,6701426 951,3015426 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-11 6,96091 6,95091 137,36 137,36 956,1505976 954,7769976 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-12 6,913 6,903 137,95 137,95 953,64835 952,26885 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-13 6,843 6,833 139,24 139,24 952,81932 951,42692 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-14 6,915 6,905 139,04 139,04 961,4616 960,0712 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-17 6,915 6,905 138,37 138,37 956,82855 955,44485 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-18 6,968 6,958 138,57 138,57 965,55576 964,17006 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-19 6,91 6,9 138,14 138,14 954,5474 953,166 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-20 6,96 6,95 138,29 138,29 962,4984 961,1155 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-21 6,978 6,968 137,54 137,54 959,75412 958,37872 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-24 6,933 6,923 137,82 137,82 955,50606 954,12786 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-25 6,95 6,94 138,39 138,39 961,8105 960,4266 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-26 6,995 6,985 137,29 137,29 960,34355 958,97065 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-27 6,93 6,92 138,33 138,33 958,6269 957,2436 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-28 6,985 6,975 137,97 137,97 963,72045 962,34075 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-01-31 6,998 6,988 137,9 137,9 965,0242 963,6452 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-01 6,993 6,983 138,17 138,17 966,22281 964,84111 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-02 6,953 6,943 137,82 137,82 958,26246 956,88426 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-03 6,968 6,958 137,99 137,99 961,51432 960,13442 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-04 7,01 7 137,29 137,29 962,4029 961,03 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-07 7,065 7,055 138,06 138,06 975,3939 974,0133 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-08 7,123 7,113 137,29 137,29 977,91667 976,54377 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-09 7,1 7,09 136,41 136,41 968,511 967,1469 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-10 7,088 7,078 136,6 136,6 968,2208 966,8548 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-11 7,068 7,058 136,99 136,99 968,24532 966,87542 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-14 7,03 7,02 136,69 136,69 960,9307 959,5638 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-15 7,005 6,995 137,35 137,35 962,13675 960,76325 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-16 6,973 6,963 137,46 137,46 958,50858 957,13398 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-17 6,97 6,96 137,07 137,07 955,3779 954,0072 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-18 6,965 6,955 137,29 137,29 956,22485 954,85195 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-21 6,978 6,968 136,78 136,78 954,45084 953,08304 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-22 6,905 6,895 136,84 136,84 944,8802 943,5118 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-23 6,895 6,885 137,99 137,99 951,44105 950,06115 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-24 6,858 6,848 137,57 137,57 943,45506 942,07936 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-25 6,885 6,875 137,23 137,23 944,82855 943,45625 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-02-28 6,828 6,818 137,42 137,42 938,30376 936,92956 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-01 6,87 6,86 138,2 138,2 949,434 948,052 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-02 6,888 6,878 137,51 137,51 947,16888 945,79378 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-03 6,903 6,893 136,73 136,73 943,84719 942,47989 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-04 6,9 6,89 136,8 136,8 943,92 942,552 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-07 6,84 6,83 138,04 138,04 944,1936 942,8132 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-08 6,825 6,815 137,61 137,61 939,18825 937,81215 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-09 6,76 6,75 138,5 138,5 936,26 934,875 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-10 6,745 6,735 138,54 138,54 934,4523 933,0669 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-11 6,765 6,755 138,52 138,52 937,0878 935,7026 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-14 6,76 6,75 138,86 138,86 938,6936 937,305 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-15 6,815 6,805 138,1 138,1 941,1515 939,7705 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-16 6,81 6,8 138,24 138,24 941,4144 940,032 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-17 6,795 6,785 139,06 139,06 944,9127 943,5221 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-18 6,828 6,818 138,55 138,55 946,0194 944,6339 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-21 6,908 6,898 137,88 137,88 952,47504 951,09624 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-22 6,928 6,918 137,17 137,17 950,31376 948,94206 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-23 6,973 6,963 137,38 137,38 957,95074 956,57694 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-24 7,008 6,998 135,9 135,9 952,3872 951,0282 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-29 7,055 7,045 135,01 135,01 952,49555 951,14545 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-30 7,053 7,043 135,12 135,12 953,00136 951,65016 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-03-31 7,065 7,055 135,59 135,59 957,94335 956,58745 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-01 7,07 7,06 136,17 136,17 962,7219 961,3602 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-04 7,113 7,103 136,08 136,08 967,93704 966,57624 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-05 7,163 7,153 135,08 135,08 967,57804 966,22724 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-06 7,125 7,115 134,95 134,95 961,51875 960,16925 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-07 7,083 7,073 135,01 135,01 956,27583 954,92573 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-08 7,153 7,143 135,34 135,34 968,08702 966,73362 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-11 7,098 7,088 134,91 134,91 957,59118 956,24208 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-12 7,048 7,038 135,89 135,89 957,75272 956,39382 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-13 7,075 7,065 135,51 135,51 958,73325 957,37815 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-14 7,12 7,11 135,99 135,99 968,2488 966,8889 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-15 7,17 7,16 135,26 135,26 969,8142 968,4616 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-18 7,08 7,07 136,41 136,41 965,7828 964,4187 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-19 7,068 7,058 136,92 136,92 967,75056 966,38136 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-20 7,043 7,033 137,47 137,47 968,20121 966,82651 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-21 7,025 7,015 137,57 137,57 966,42925 965,05355 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-22 7,023 7,013 137,52 137,52 965,80296 964,42776 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-25 7,04 7,03 138,06 138,06 971,9424 970,5618 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-26 7,035 7,025 137,81 137,81 969,49335 968,11525 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-27 7,085 7,075 137,47 137,47 973,97495 972,60025 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-28 7,085 7,075 137,76 137,76 976,0296 974,652 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-04-29 7,08 7,07 137,65 137,65 974,562 973,1855 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-02 7,15 7,14 138,06 138,06 987,129 985,7484 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-03 7,178 7,168 137,6 137,6 987,6928 986,3168 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-04 7,11 7,1 137,87 137,87 980,2557 978,877 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-06 7,085 7,075 138,36 138,36 980,2806 978,897 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-09 7,168 7,158 137,4 137,4 984,8832 983,5092 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-10 7,178 7,168 137,05 137,05 983,7449 982,3744 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-11 7,15 7,14 137,63 137,63 984,0545 982,6782 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-12 7,243 7,233 137,42 137,42 995,33306 993,95886 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-13 7,265 7,255 136,52 136,52 991,8178 990,4526 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-17 7,313 7,303 135,94 135,94 994,12922 992,76982 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-18 7,3 7,29 136,04 136,04 993,092 991,7316 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-19 7,26 7,25 136,28 136,28 989,3928 988,03 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-20 7,28 7,27 135,94 135,94 989,6432 988,2838 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-23 7,32 7,31 135,23 135,23 989,8836 988,5313 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-24 7,295 7,285 135,94 135,94 991,6823 990,3229 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-25 7,298 7,288 136,22 136,22 994,13356 992,77136 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-26 7,33 7,32 136,17 136,17 998,1261 996,7644 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-27 7,338 7,328 135,48 135,48 994,15224 992,79744 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-30 7,338 7,328 135,56 135,56 994,73928 993,38368 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-05-31 7,403 7,393 135,3 135,3 1001,6259 1000,2729 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-01 7,428 7,418 135,2 135,2 1004,2656 1002,9136 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-02 7,473 7,463 135,01 135,01 1008,92973 1007,57963 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-03 7,438 7,428 135,18 135,18 1005,46884 1004,11704 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-07 7,448 7,438 135,74 135,74 1010,99152 1009,63412 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-08 7,435 7,425 136 136 1011,16 1009,8 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-09 7,523 7,513 136,36 136,36 1025,83628 1024,47268 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-10 7,525 7,515 135,24 135,24 1017,681 1016,3286 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-13 7,643 7,633 134,43 134,43 1027,44849 1026,10419 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-14 7,663 7,653 133,46 133,46 1022,70398 1021,36938 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-15 7,693 7,683 133,45 133,45 1026,63085 1025,29635 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-16 7,678 7,668 133,34 133,34 1023,78452 1022,45112 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-17 7,643 7,633 133,27 133,27 1018,58261 1017,24991 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-20 7,543 7,533 134,13 134,13 1011,74259 1010,40129 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-21 7,648 7,638 133,6 133,6 1021,7728 1020,4368 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-22 7,608 7,598 134,33 134,33 1021,98264 1020,63934 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-27 7,73 7,72 134,25 134,25 1037,7525 1036,41 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-28 7,76 7,75 134,63 134,63 1044,7288 1043,3825 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-29 7,833 7,823 133,89 133,89 1048,76037 1047,42147 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-06-30 7,823 7,813 133,6 133,6 1045,1528 1043,8168 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-01 7,858 7,848 133,64 133,64 1050,14312 1048,80672 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-04 7,945 7,935 132,41 132,41 1051,99745 1050,67335 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-05 7,963 7,953 132,08 132,08 1051,75304 1050,43224 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-06 7,895 7,885 131,8 131,8 1040,561 1039,243 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-07 7,878 7,868 131,93 131,93 1039,34454 1038,02524 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-08 7,913 7,903 132,18 132,18 1045,94034 1044,61854 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-11 7,89 7,88 131,78 131,78 1039,7442 1038,4264 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-12 7,77 7,76 132,49 132,49 1029,4473 1028,1224 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-13 7,703 7,693 133,32 133,32 1026,96396 1025,63076 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-14 7,76 7,75 132,22 132,22 1026,0272 1024,705 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-15 7,76 7,75 132,16 132,16 1025,5616 1024,24 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-18 7,78 7,77 131,82 131,82 1025,5596 1024,2414 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-19 7,878 7,868 132,07 132,07 1040,44746 1039,12676 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-20 7,818 7,808 131,27 131,27 1026,26886 1024,95616 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-21 7,775 7,765 131,1 131,1 1019,3025 1017,9915 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-22 7,758 7,748 132,57 132,57 1028,47806 1027,15236 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-25 7,838 7,828 132,69 132,69 1040,02422 1038,69732 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-26 7,818 7,808 132,22 132,22 1033,69596 1032,37376 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-27 7,905 7,895 131,64 131,64 1040,6142 1039,2978 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-28 7,848 7,838 131,67 131,67 1033,34616 1032,02946 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-07-29 7,748 7,738 131,95 131,95 1022,3486 1021,0291 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-01 7,72 7,71 132,21 132,21 1020,6612 1019,3391 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-02 7,7 7,69 132,28 132,28 1018,556 1017,2332 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-03 7,685 7,675 132,45 132,45 1017,87825 1016,55375 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-04 7,618 7,608 133,05 133,05 1013,5749 1012,2444 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-05 7,548 7,538 133,23 133,23 1005,62004 1004,28774 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-08 7,558 7,548 132,51 132,51 1001,51058 1000,18548 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-09 7,548 7,538 132,78 132,78 1002,22344 1000,89564 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-10 7,558 7,548 132,55 132,55 1001,8129 1000,4874 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-11 7,523 7,513 133,28 133,28 1002,66544 1001,33264 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-12 7,46 7,45 134,02 134,02 999,7892 998,449 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-16 7,523 7,513 134,21 134,21 1009,66183 1008,31973 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-17 7,605 7,595 134,39 134,39 1022,03595 1020,69205 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-18 7,61 7,6 134,13 134,13 1020,7293 1019,388 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-19 7,698 7,688 133,39 133,39 1026,83622 1025,50232 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-22 7,69 7,68 133,1 133,1 1023,539 1022,208 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-23 7,663 7,653 133,88 133,88 1025,92244 1024,58364 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-24 7,673 7,663 133,15 133,15 1021,65995 1020,32845 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-25 7,588 7,578 133,94 133,94 1016,33672 1014,99732 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-26 7,578 7,568 134,4 134,4 1018,4832 1017,1392 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-29 7,573 7,563 134,8 134,8 1020,8404 1019,4924 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-30 7,633 7,623 134,17 134,17 1024,11961 1022,77791 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-08-31 7,668 7,658 133,6 133,6 1024,4448 1023,1088 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-01 7,568 7,558 134,68 134,68 1019,25824 1017,91144 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-02 7,435 7,425 136,21 136,21 1012,72135 1011,35925 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-05 7,41 7,4 136,63 136,63 1012,4283 1011,062 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-06 7,485 7,475 136,75 136,75 1023,57375 1022,20625 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-07 7,43 7,42 136,16 136,16 1011,6688 1010,3072 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-08 7,498 7,488 135,68 135,68 1017,32864 1015,97184 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-09 7,523 7,513 135,45 135,45 1018,99035 1017,63585 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-12 7,555 7,545 135,91 135,91 1026,80005 1025,44095 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-13 7,57 7,56 134,77 134,77 1020,2089 1018,8612 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-14 7,61 7,6 134,56 134,56 1024,0016 1022,656 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-15 7,658 7,648 134,93 134,93 1033,29394 1031,94464 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-16 7,613 7,603 134,18 134,18 1021,51234 1020,17054 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-19 7,698 7,688 133,65 133,65 1028,8377 1027,5012 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-20 7,688 7,678 133,58 133,58 1026,96304 1025,62724 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-21 7,663 7,653 133,62 133,62 1023,93006 1022,59386 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-22 7,648 7,638 134,38 134,38 1027,73824 1026,39444 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-23 7,733 7,723 133,81 133,81 1034,75273 1033,41463 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-26 7,798 7,788 132,88 132,88 1036,19824 1034,86944 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-27 7,825 7,815 132,29 132,29 1035,16925 1033,84635 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-28 7,81 7,8 131,67 131,67 1028,3427 1027,026 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-29 7,785 7,775 131,72 131,72 1025,4402 1024,123 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-09-30 7,785 7,775 131,81 131,81 1026,14085 1024,82275 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-03 7,783 7,773 131,91 131,91 1026,65553 1025,33643 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-04 7,82 7,81 130,45 130,45 1020,119 1018,8145 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-05 7,795 7,785 130,84 130,84 1019,8978 1018,5894 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-06 7,713 7,703 131,11 131,11 1011,25143 1009,94033 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-07 7,683 7,673 131,97 131,97 1013,92551 1012,60581 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-10 7,698 7,688 131,79 131,79 1014,51942 1013,20152 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-11 7,77 7,76 131,31 131,31 1020,2787 1018,9656 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-12 7,805 7,795 130,85 130,85 1021,28425 1019,97575 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-13 7,83 7,82 130,74 130,74 1023,6942 1022,3868 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-14 7,833 7,823 129,81 129,81 1016,80173 1015,50363 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-17 7,835 7,825 130,68 130,68 1023,8778 1022,571 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-18 7,893 7,883 130,18 130,18 1027,51074 1026,20894 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-19 7,96 7,95 129,56 129,56 1031,2976 1030,002 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-20 7,93 7,92 130,12 130,12 1031,8516 1030,5504 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-21 7,883 7,873 130,04 130,04 1025,10532 1023,80492 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-24 7,995 7,985 130,49 130,49 1043,26755 1041,96265 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-25 7,99 7,98 130,31 130,31 1041,1769 1039,8738 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-26 7,868 7,858 130,66 130,66 1028,03288 1026,72628 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-27 7,868 7,858 129,87 129,87 1021,81716 1020,51846 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-28 7,825 7,815 130,36 130,36 1020,067 1018,7634 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-10-31 7,905 7,895 129,95 129,95 1027,25475 1025,95525 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-02 7,98 7,97 129,05 129,05 1029,819 1028,5285 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-03 8,01 8 129,22 129,22 1035,0522 1033,76 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-04 8,028 8,018 128,64 128,64 1032,72192 1031,43552 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-07 8,135 8,125 127,24 127,24 1035,0974 1033,825 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-08 8,17 8,16 127,34 127,34 1040,3678 1039,0944 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-09 8,12 8,11 127,64 127,64 1036,4368 1035,1604 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-10 8,173 8,163 127,17 127,17 1039,36041 1038,08871 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-11 8,235 8,225 127,26 127,26 1047,9861 1046,7135 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-14 8,133 8,123 127,23 127,23 1034,76159 1033,48929 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-15 8,185 8,175 126,92 126,92 1038,8402 1037,571 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-16 8,21 8,2 126,76 126,76 1040,6996 1039,432 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-17 8,258 8,248 127,03 127,03 1049,01374 1047,74344 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-18 8,223 8,213 127,52 127,52 1048,59696 1047,32176 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-21 8,123 8,113 126,88 126,88 1030,64624 1029,37744 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-22 8,15 8,14 127,46 127,46 1038,799 1037,5244 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-23 8,048 8,038 127,21 127,21 1023,78608 1022,51398 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-24 8,053 8,043 127,81 127,81 1029,25393 1027,97583 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-25 8,078 8,068 127,97 127,97 1033,74166 1032,46196 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-28 8,118 8,108 127,45 127,45 1034,6391 1033,3646 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-29 8,015 8,005 127,9 127,9 1025,1185 1023,8395 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-11-30 8,088 8,078 127,43 127,43 1030,65384 1029,37954 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-01 8,083 8,073 127,61 127,61 1031,47163 1030,19553 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-02 8,103 8,093 127,04 127,04 1029,40512 1028,13472 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-05 8,045 8,035 126,84 126,84 1020,4278 1019,1594 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-06 7,993 7,983 126,96 126,96 1014,79128 1013,52168 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-07 8,015 8,005 127,36 127,36 1020,7904 1019,5168 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-08 7,988 7,978 127,04 127,04 1014,79552 1013,52512 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-12 7,953 7,943 127,45 127,45 1013,60985 1012,33535 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-13 7,905 7,895 128,3 128,3 1014,2115 1012,9285 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-14 7,848 7,838 128,31 128,31 1006,97688 1005,69378 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-15 7,858 7,848 129,92 129,92 1020,91136 1019,61216 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-16 7,903 7,893 129,58 129,58 1024,07074 1022,77494 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-19 7,865 7,855 130,28 130,28 1024,6522 1023,3494 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-20 7,848 7,838 130,2 130,2 1021,8096 1020,5076 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-21 7,948 7,938 129,36 129,36 1028,15328 1026,85968 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-22 7,98 7,97 128,64 128,64 1026,5472 1025,2608 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-23 7,955 7,945 129,28 129,28 1028,4224 1027,1296 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-27 8,01 8 129,73 129,73 1039,1373 1037,84 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-28 7,915 7,905 129,42 129,42 1024,3593 1023,0651 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-29 7,938 7,928 129,68 129,68 1029,39984 1028,10304 316752 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Bonds USD 2005-12-30 7,958 7,948 129,26 129,26 1028,65108 1027,35848 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-03 6,668 6,658 17,8 17,8 118,6904 118,5124 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-04 6,728 6,718 17,71 17,71 119,15288 118,97578 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-05 6,828 6,818 17,46 17,46 119,21688 119,04228 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-07 6,87 6,86 17,36 17,36 119,2632 119,0896 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-10 6,96091 6,95091 17,36 17,36 120,8413976 120,6677976 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-11 6,96091 6,95091 17,44 17,44 121,3982704 121,2238704 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-12 6,913 6,903 17,39 17,39 120,21707 120,04317 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-13 6,843 6,833 17,51 17,51 119,82093 119,64583 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-14 6,915 6,905 17,45 17,45 120,66675 120,49225 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-17 6,915 6,905 17,53 17,53 121,21995 121,04465 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-18 6,968 6,958 17,55 17,55 122,2884 122,1129 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-19 6,91 6,9 17,6 17,6 121,616 121,44 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-20 6,96 6,95 17,46 17,46 121,5216 121,347 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-21 6,978 6,968 17,32 17,32 120,85896 120,68576 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-24 6,933 6,923 17,31 17,31 120,01023 119,83713 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-25 6,95 6,94 17,28 17,28 120,096 119,9232 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-26 6,995 6,985 17,31 17,31 121,08345 120,91035 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-27 6,93 6,92 17,47 17,47 121,0671 120,8924 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-28 6,985 6,975 17,47 17,47 122,02795 121,85325 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-01-31 6,998 6,988 17,43 17,43 121,97514 121,80084 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-01 6,993 6,983 17,51 17,51 122,44743 122,27233 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-02 6,953 6,943 17,63 17,63 122,58139 122,40509 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-03 6,968 6,958 17,69 17,69 123,26392 123,08702 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-04 7,01 7 17,57 17,57 123,1657 122,99 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-07 7,065 7,055 17,78 17,78 125,6157 125,4379 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-08 7,123 7,113 17,76 17,76 126,50448 126,32688 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-09 7,1 7,09 17,68 17,68 125,528 125,3512 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-10 7,088 7,078 17,58 17,58 124,60704 124,43124 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-11 7,068 7,058 17,67 17,67 124,89156 124,71486 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-14 7,03 7,02 17,85 17,85 125,4855 125,307 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-15 7,005 6,995 17,95 17,95 125,73975 125,56025 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-16 6,973 6,963 17,99 17,99 125,44427 125,26437 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-17 6,97 6,96 17,93 17,93 124,9721 124,7928 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-18 6,965 6,955 17,93 17,93 124,88245 124,70315 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-21 6,978 6,968 17,95 17,95 125,2551 125,0756 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-22 6,905 6,895 17,91 17,91 123,66855 123,48945 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-23 6,895 6,885 17,78 17,78 122,5931 122,4153 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-24 6,858 6,848 17,76 17,76 121,79808 121,62048 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-25 6,885 6,875 17,83 17,83 122,75955 122,58125 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-02-28 6,828 6,818 17,99 17,99 122,83572 122,65582 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-01 6,87 6,86 17,98 17,98 123,5226 123,3428 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-02 6,888 6,878 18,06 18,06 124,39728 124,21668 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-03 6,903 6,893 18 18 124,254 124,074 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-04 6,9 6,89 18,04 18,04 124,476 124,2956 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-07 6,84 6,83 18,25 18,25 124,83 124,6475 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-08 6,825 6,815 18,27 18,27 124,69275 124,51005 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-09 6,76 6,75 18,33 18,33 123,9108 123,7275 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-10 6,745 6,735 18,24 18,24 123,0288 122,8464 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-11 6,765 6,755 18,22 18,22 123,2583 123,0761 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-14 6,76 6,75 18,18 18,18 122,8968 122,715 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-15 6,815 6,805 18,12 18,12 123,4878 123,3066 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-16 6,81 6,8 18,06 18,06 122,9886 122,808 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-17 6,795 6,785 17,97 17,97 122,10615 121,92645 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-18 6,828 6,818 17,98 17,98 122,76744 122,58764 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-21 6,908 6,898 17,91 17,91 123,72228 123,54318 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-22 6,928 6,918 17,79 17,79 123,24912 123,07122 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-23 6,973 6,963 17,73 17,73 123,63129 123,45399 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-24 7,008 6,998 17,54 17,54 122,92032 122,74492 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-29 7,055 7,045 17,53 17,53 123,67415 123,49885 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-30 7,053 7,043 17,36 17,36 122,44008 122,26648 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-03-31 7,065 7,055 17,52 17,52 123,7788 123,6036 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-01 7,07 7,06 17,66 17,66 124,8562 124,6796 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-04 7,113 7,103 17,6 17,6 125,1888 125,0128 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-05 7,163 7,153 17,54 17,54 125,63902 125,46362 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-06 7,125 7,115 17,61 17,61 125,47125 125,29515 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-07 7,083 7,073 17,66 17,66 125,08578 124,90918 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-08 7,153 7,143 17,78 17,78 127,18034 127,00254 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-11 7,098 7,088 17,69 17,69 125,56362 125,38672 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-12 7,048 7,038 17,74 17,74 125,03152 124,85412 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-13 7,075 7,065 17,66 17,66 124,9445 124,7679 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-14 7,12 7,11 17,62 17,62 125,4544 125,2782 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-15 7,17 7,16 17,42 17,42 124,9014 124,7272 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-18 7,08 7,07 17,14 17,14 121,3512 121,1798 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-19 7,068 7,058 17,12 17,12 121,00416 120,83296 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-20 7,043 7,033 17,24 17,24 121,42132 121,24892 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-21 7,025 7,015 17,17 17,17 120,61925 120,44755 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-22 7,023 7,013 17,37 17,37 121,98951 121,81581 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-25 7,04 7,03 17,38 17,38 122,3552 122,1814 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-26 7,035 7,025 17,42 17,42 122,5497 122,3755 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-27 7,085 7,075 17,29 17,29 122,49965 122,32675 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-28 7,085 7,075 17,18 17,18 121,7203 121,5485 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-04-29 7,08 7,07 17,02 17,02 120,5016 120,3314 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-02 7,15 7,14 17,19 17,19 122,9085 122,7366 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-03 7,178 7,168 17,18 17,18 123,31804 123,14624 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-04 7,11 7,1 17,16 17,16 122,0076 121,836 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-06 7,085 7,075 17,44 17,44 123,5624 123,388 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-09 7,168 7,158 17,42 17,42 124,86656 124,69236 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-10 7,178 7,168 17,4 17,4 124,8972 124,7232 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-11 7,15 7,14 17,33 17,33 123,9095 123,7362 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-12 7,243 7,233 17,32 17,32 125,44876 125,27556 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-13 7,265 7,255 17,2 17,2 124,958 124,786 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-17 7,313 7,303 17,08 17,08 124,90604 124,73524 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-18 7,3 7,29 17,11 17,11 124,903 124,7319 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-19 7,26 7,25 17,27 17,27 125,3802 125,2075 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-20 7,28 7,27 17,32 17,32 126,0896 125,9164 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-23 7,32 7,31 17,27 17,27 126,4164 126,2437 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-24 7,295 7,285 17,35 17,35 126,56825 126,39475 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-25 7,298 7,288 17,33 17,33 126,47434 126,30104 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-26 7,33 7,32 17,29 17,29 126,7357 126,5628 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-27 7,338 7,328 17,39 17,39 127,60782 127,43392 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-30 7,338 7,328 17,41 17,41 127,75458 127,58048 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-05-31 7,403 7,393 17,41 17,41 128,88623 128,71213 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-01 7,428 7,418 17,35 17,35 128,8758 128,7023 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-02 7,473 7,463 17,4 17,4 130,0302 129,8562 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-03 7,438 7,428 17,46 17,46 129,86748 129,69288 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-07 7,448 7,438 17,39 17,39 129,52072 129,34682 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-08 7,435 7,425 17,46 17,46 129,8151 129,6405 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-09 7,523 7,513 17,42 17,42 131,05066 130,87646 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-10 7,525 7,515 17,41 17,41 131,01025 130,83615 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-13 7,643 7,633 17,39 17,39 132,91177 132,73787 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-14 7,663 7,653 17,33 17,33 132,79979 132,62649 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-15 7,693 7,683 17,36 17,36 133,55048 133,37688 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-16 7,678 7,668 17,4 17,4 133,5972 133,4232 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-17 7,643 7,633 17,51 17,51 133,82893 133,65383 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-20 7,543 7,533 17,58 17,58 132,60594 132,43014 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-21 7,648 7,638 17,53 17,53 134,06944 133,89414 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-22 7,608 7,598 17,57 17,57 133,67256 133,49686 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-27 7,73 7,72 17,36 17,36 134,1928 134,0192 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-28 7,76 7,75 17,36 17,36 134,7136 134,54 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-29 7,833 7,823 17,44 17,44 136,60752 136,43312 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-06-30 7,823 7,813 17,47 17,47 136,66781 136,49311 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-01 7,858 7,848 17,38 17,38 136,57204 136,39824 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-04 7,945 7,935 17,34 17,34 137,7663 137,5929 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-06 7,895 7,885 17,37 17,37 137,13615 136,96245 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-07 7,878 7,868 17,33 17,33 136,52574 136,35244 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-08 7,913 7,903 17,25 17,25 136,49925 136,32675 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-11 7,89 7,88 17,46 17,46 137,7594 137,5848 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-12 7,77 7,76 17,62 17,62 136,9074 136,7312 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-13 7,703 7,693 17,71 17,71 136,42013 136,24303 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-14 7,76 7,75 17,65 17,65 136,964 136,7875 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-15 7,76 7,75 17,73 17,73 137,5848 137,4075 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-18 7,78 7,77 17,7 17,7 137,706 137,529 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-19 7,878 7,868 17,71 17,71 139,51938 139,34228 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-20 7,818 7,808 17,76 17,76 138,84768 138,67008 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-21 7,775 7,765 17,85 17,85 138,78375 138,60525 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-22 7,758 7,748 17,93 17,93 139,10094 138,92164 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-25 7,838 7,828 17,93 17,93 140,53534 140,35604 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-26 7,818 7,808 17,83 17,83 139,39494 139,21664 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-27 7,905 7,895 17,83 17,83 140,94615 140,76785 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-28 7,848 7,838 17,9 17,9 140,4792 140,3002 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-07-29 7,748 7,738 17,98 17,98 139,30904 139,12924 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-01 7,72 7,71 17,96 17,96 138,6512 138,4716 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-02 7,7 7,69 18,04 18,04 138,908 138,7276 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-03 7,685 7,675 18,15 18,15 139,48275 139,30125 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-04 7,618 7,608 18,21 18,21 138,72378 138,54168 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-05 7,548 7,538 18,11 18,11 136,69428 136,51318 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-08 7,558 7,548 17,99 17,99 135,96842 135,78852 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-09 7,548 7,538 18,02 18,02 136,01496 135,83476 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-10 7,558 7,548 18,19 18,19 137,48002 137,29812 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-11 7,523 7,513 18,3 18,3 137,6709 137,4879 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-12 7,46 7,45 18,38 18,38 137,1148 136,931 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-16 7,523 7,513 18,31 18,31 137,74613 137,56303 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-17 7,605 7,595 18,2 18,2 138,411 138,229 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-18 7,61 7,6 18,16 18,16 138,1976 138,016 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-19 7,698 7,688 18,05 18,05 138,9489 138,7684 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-22 7,69 7,68 18,14 18,14 139,4966 139,3152 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-23 7,663 7,653 18,19 18,19 139,38997 139,20807 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-24 7,673 7,663 18,17 18,17 139,41841 139,23671 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-25 7,588 7,578 18,07 18,07 137,11516 136,93446 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-26 7,578 7,568 18,09 18,09 137,08602 136,90512 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-29 7,573 7,563 18 18 136,314 136,134 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-30 7,633 7,623 18,07 18,07 137,92831 137,74761 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-08-31 7,668 7,658 17,97 17,97 137,79396 137,61426 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-01 7,568 7,558 18,2 18,2 137,7376 137,5556 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-02 7,435 7,425 18,4 18,4 136,804 136,62 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-05 7,41 7,4 18,42 18,42 136,4922 136,308 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-06 7,485 7,475 18,44 18,44 138,0234 137,839 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-07 7,43 7,42 18,58 18,58 138,0494 137,8636 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-08 7,498 7,488 18,63 18,63 139,68774 139,50144 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-09 7,523 7,513 18,64 18,64 140,22872 140,04232 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-12 7,555 7,545 18,78 18,78 141,8829 141,6951 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-13 7,57 7,56 18,73 18,73 141,7861 141,5988 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-14 7,61 7,6 18,55 18,55 141,1655 140,98 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-15 7,658 7,648 18,59 18,59 142,36222 142,17632 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-16 7,613 7,603 18,53 18,53 141,06889 140,88359 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-19 7,698 7,688 18,57 18,57 142,95186 142,76616 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-20 7,688 7,678 18,65 18,65 143,3812 143,1947 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-21 7,663 7,653 18,6 18,6 142,5318 142,3458 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-22 7,648 7,638 18,48 18,48 141,33504 141,15024 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-23 7,733 7,723 18,46 18,46 142,75118 142,56658 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-26 7,798 7,788 18,52 18,52 144,41896 144,23376 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-27 7,825 7,815 18,54 18,54 145,0755 144,8901 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-28 7,81 7,8 18,58 18,58 145,1098 144,924 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-29 7,785 7,775 18,72 18,72 145,7352 145,548 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-09-30 7,785 7,775 18,72 18,72 145,7352 145,548 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-03 7,783 7,773 18,8 18,8 146,3204 146,1324 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-04 7,82 7,81 18,76 18,76 146,7032 146,5156 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-05 7,795 7,785 18,75 18,75 146,15625 145,96875 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-06 7,713 7,703 18,48 18,48 142,53624 142,35144 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-07 7,683 7,673 18,47 18,47 141,90501 141,72031 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-10 7,698 7,688 18,44 18,44 141,95112 141,76672 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-11 7,77 7,76 18,39 18,39 142,8903 142,7064 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-12 7,805 7,795 18,31 18,31 142,90955 142,72645 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-13 7,83 7,82 18,2 18,2 142,506 142,324 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-14 7,833 7,823 18,1 18,1 141,7773 141,5963 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-17 7,835 7,825 18,3 18,3 143,3805 143,1975 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-18 7,893 7,883 18,27 18,27 144,20511 144,02241 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-19 7,96 7,95 17,98 17,98 143,1208 142,941 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-20 7,93 7,92 18,01 18,01 142,8193 142,6392 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-21 7,883 7,873 17,98 17,98 141,73634 141,55654 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-24 7,995 7,985 17,96 17,96 143,5902 143,4106 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-25 7,99 7,98 18,27 18,27 145,9773 145,7946 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-26 7,868 7,858 18,36 18,36 144,45648 144,27288 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-27 7,868 7,858 18,33 18,33 144,22044 144,03714 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-28 7,825 7,815 18,11 18,11 141,71075 141,52965 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-10-31 7,905 7,895 18,29 18,29 144,58245 144,39955 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-02 7,98 7,97 18,49 18,49 147,5502 147,3653 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-03 8,01 8 18,66 18,66 149,4666 149,28 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-04 8,028 8,018 18,83 18,83 151,16724 150,97894 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-07 8,135 8,125 18,66 18,66 151,7991 151,6125 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-08 8,17 8,16 18,67 18,67 152,5339 152,3472 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-09 8,12 8,11 18,72 18,72 152,0064 151,8192 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-10 8,173 8,163 18,72 18,72 152,99856 152,81136 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-11 8,235 8,225 18,8 18,8 154,818 154,63 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-14 8,133 8,123 18,88 18,88 153,55104 153,36224 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-15 8,185 8,175 18,79 18,79 153,79615 153,60825 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-16 8,21 8,2 18,71 18,71 153,6091 153,422 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-17 8,258 8,248 18,68 18,68 154,25944 154,07264 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-18 8,223 8,213 18,87 18,87 155,16801 154,97931 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-21 8,123 8,113 18,97 18,97 154,09331 153,90361 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-22 8,15 8,14 19 19 154,85 154,66 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-23 8,048 8,038 19,02 19,02 153,07296 152,88276 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-24 8,053 8,043 19,18 19,18 154,45654 154,26474 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-25 8,078 8,068 19,13 19,13 154,53214 154,34084 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-28 8,118 8,108 19,15 19,15 155,4597 155,2682 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-29 8,015 8,005 19,02 19,02 152,4453 152,2551 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-11-30 8,088 8,078 18,96 18,96 153,34848 153,15888 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-01 8,083 8,073 18,99 18,99 153,49617 153,30627 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-02 8,103 8,093 19,22 19,22 155,73966 155,54746 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-05 8,045 8,035 19,22 19,22 154,6249 154,4327 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-06 7,993 7,983 19,2 19,2 153,4656 153,2736 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-07 8,015 8,005 19,27 19,27 154,44905 154,25635 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-08 7,988 7,978 19,11 19,11 152,65068 152,45958 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-12 7,953 7,943 19,23 19,23 152,93619 152,74389 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-13 7,905 7,895 19,3 19,3 152,5665 152,3735 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-14 7,848 7,838 19,29 19,29 151,38792 151,19502 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-15 7,858 7,848 19,39 19,39 152,36662 152,17272 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-16 7,903 7,893 19,34 19,34 152,84402 152,65062 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-19 7,865 7,855 19,42 19,42 152,7383 152,5441 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-20 7,848 7,838 19,39 19,39 152,17272 151,97882 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-21 7,948 7,938 19,41 19,41 154,27068 154,07658 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-22 7,98 7,97 19,41 19,41 154,8918 154,6977 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-23 7,955 7,945 19,51 19,51 155,20205 155,00695 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-27 8,01 8 19,57 19,57 156,7557 156,56 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-28 7,915 7,905 19,48 19,48 154,1842 153,9894 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-29 7,938 7,928 19,47 19,47 154,55286 154,35816 471581 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Global Equity Selection USD 2005-12-30 7,958 7,948 19,39 19,39 154,30562 154,11172 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-03 6,668 6,658 178,64 178,64 1191,17152 1189,38512 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-04 6,728 6,718 175,85 175,85 1183,1188 1181,3603 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-05 6,828 6,818 171,42 171,42 1170,45576 1168,74156 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-07 6,87 6,86 169,05 169,05 1161,3735 1159,683 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-10 6,96091 6,95091 170,04 170,04 1183,6331364 1181,9327364 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-11 6,96091 6,95091 169,68 169,68 1181,1272088 1179,4304088 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-12 6,913 6,903 168,81 168,81 1166,98353 1165,29543 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-13 6,843 6,833 169,02 169,02 1156,60386 1154,91366 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-14 6,915 6,905 168,28 168,28 1163,6562 1161,9734 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-17 6,915 6,905 170,81 170,81 1181,15115 1179,44305 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-18 6,968 6,958 171,26 171,26 1193,33968 1191,62708 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-19 6,91 6,9 170,79 170,79 1180,1589 1178,451 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-20 6,96 6,95 170 170 1183,2 1181,5 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-21 6,978 6,968 168,67 168,67 1176,97926 1175,29256 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-24 6,933 6,923 167,08 167,08 1158,36564 1156,69484 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-25 6,95 6,94 168,37 168,37 1170,1715 1168,4878 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-26 6,995 6,985 169,64 169,64 1186,6318 1184,9354 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-27 6,93 6,92 169,9 169,9 1177,407 1175,708 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-28 6,985 6,975 170,88 170,88 1193,5968 1191,888 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-01-31 6,998 6,988 172,84 172,84 1209,53432 1207,80592 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-01 6,993 6,983 173,18 173,18 1211,04774 1209,31594 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-02 6,953 6,943 173,05 173,05 1203,21665 1201,48615 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-03 6,968 6,958 173,04 173,04 1205,74272 1204,01232 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-04 7,01 7 173,79 173,79 1218,2679 1216,53 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-07 7,065 7,055 175,47 175,47 1239,69555 1237,94085 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-08 7,123 7,113 175,47 175,47 1249,87281 1248,11811 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-09 7,1 7,09 175,47 175,47 1245,837 1244,0823 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-14 7,03 7,02 176,72 176,72 1242,3416 1240,5744 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-15 7,005 6,995 177,95 177,95 1246,53975 1244,76025 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-16 6,973 6,963 178,16 178,16 1242,30968 1240,52808 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-17 6,97 6,96 176,59 176,59 1230,8323 1229,0664 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-18 6,965 6,955 178,01 178,01 1239,83965 1238,05955 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-21 6,978 6,968 179,02 179,02 1249,20156 1247,41136 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-22 6,905 6,895 178,59 178,59 1233,16395 1231,37805 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-23 6,895 6,885 178,19 178,19 1228,62005 1226,83815 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-24 6,858 6,848 178,71 178,71 1225,59318 1223,80608 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-25 6,885 6,875 180,63 180,63 1243,63755 1241,83125 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-02-28 6,828 6,818 181,32 181,32 1238,05296 1236,23976 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-01 6,87 6,86 181,69 181,69 1248,2103 1246,3934 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-02 6,888 6,878 179,37 179,37 1235,50056 1233,70686 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-03 6,903 6,893 179,54 179,54 1239,36462 1237,56922 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-04 6,9 6,89 178,48 178,48 1231,512 1229,7272 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-07 6,84 6,83 178,86 178,86 1223,4024 1221,6138 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-08 6,825 6,815 179,66 179,66 1226,1795 1224,3829 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-09 6,76 6,75 180,93 180,93 1223,0868 1221,2775 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-10 6,745 6,735 180,41 180,41 1216,86545 1215,06135 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-11 6,765 6,755 180,38 180,38 1220,2707 1218,4669 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-14 6,76 6,75 179,59 179,59 1214,0284 1212,2325 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-15 6,815 6,805 176,32 176,32 1201,6208 1199,8576 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-16 6,81 6,8 177,34 177,34 1207,6854 1205,912 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-17 6,795 6,785 176,5 176,5 1199,3175 1197,5525 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-18 6,828 6,818 176,15 176,15 1202,7522 1200,9907 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-21 6,908 6,898 176,52 176,52 1219,40016 1217,63496 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-22 6,928 6,918 174,77 174,77 1210,80656 1209,05886 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-23 6,973 6,963 172,99 172,99 1206,25927 1204,52937 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-24 7,008 6,998 172,73 172,73 1210,49184 1208,76454 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-29 7,055 7,045 171,7 171,7 1211,3435 1209,6265 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-30 7,053 7,043 171,54 171,54 1209,87162 1208,15622 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-03-31 7,065 7,055 172,74 172,74 1220,4081 1218,6807 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-01 7,07 7,06 173,35 173,35 1225,5845 1223,851 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-04 7,113 7,103 173,25 173,25 1232,32725 1230,59475 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-06 7,125 7,115 173,54 173,54 1236,4725 1234,7371 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-07 7,083 7,073 173,72 173,72 1230,45876 1228,72156 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-08 7,153 7,143 174,51 174,51 1248,27003 1246,52493 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-11 7,098 7,088 173,75 173,75 1233,2775 1231,54 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-12 7,048 7,038 173,98 173,98 1226,21104 1224,47124 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-13 7,075 7,065 174,83 174,83 1236,92225 1235,17395 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-14 7,12 7,11 174,02 174,02 1239,0224 1237,2822 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-15 7,17 7,16 171,97 171,97 1233,0249 1231,3052 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-18 7,08 7,07 168,41 168,41 1192,3428 1190,6587 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-19 7,068 7,058 169,35 169,35 1196,9658 1195,2723 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-20 7,043 7,033 168,98 168,98 1190,12614 1188,43634 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-21 7,025 7,015 169,27 169,27 1189,12175 1187,42905 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-22 7,023 7,013 170,45 170,45 1197,07035 1195,36585 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-25 7,04 7,03 171,03 171,03 1204,0512 1202,3409 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-26 7,035 7,025 172,61 172,61 1214,31135 1212,58525 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-27 7,085 7,075 172,25 172,25 1220,39125 1218,66875 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-28 7,085 7,075 173,03 173,03 1225,91755 1224,18725 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-04-29 7,08 7,07 172,29 172,29 1219,8132 1218,0903 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-03 7,178 7,168 172,55 172,55 1238,5639 1236,8384 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-04 7,11 7,1 173,3 173,3 1232,163 1230,43 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-06 7,085 7,075 175,53 175,53 1243,63005 1241,87475 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-09 7,168 7,158 175,35 175,35 1256,9088 1255,1553 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-10 7,178 7,168 175,1 175,1 1256,8678 1255,1168 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-11 7,15 7,14 173,85 173,85 1243,0275 1241,289 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-12 7,243 7,233 174,6 174,6 1264,6278 1262,8818 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-13 7,265 7,255 175,04 175,04 1271,6656 1269,9152 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-17 7,313 7,303 172,36 172,36 1260,46868 1258,74508 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-18 7,3 7,29 172,23 172,23 1257,279 1255,5567 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-19 7,26 7,25 173,87 173,87 1262,2962 1260,5575 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-20 7,28 7,27 173,89 173,89 1265,9192 1264,1803 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-23 7,32 7,31 173,24 173,24 1268,1168 1266,3844 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-24 7,295 7,285 173,79 173,79 1267,79805 1266,06015 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-25 7,298 7,288 172,85 172,85 1261,4593 1259,7308 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-26 7,33 7,32 173,3 173,3 1270,289 1268,556 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-27 7,338 7,328 175,29 175,29 1286,27802 1284,52512 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-30 7,338 7,328 176,28 176,28 1293,54264 1291,77984 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-05-31 7,403 7,393 176,56 176,56 1307,07368 1305,30808 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-01 7,428 7,418 175,45 175,45 1303,2426 1301,4881 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-02 7,473 7,463 175,97 175,97 1315,02381 1313,26411 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-03 7,438 7,428 177,14 177,14 1317,56732 1315,79592 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-07 7,448 7,438 177,78 177,78 1324,10544 1322,32764 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-08 7,435 7,425 178,57 178,57 1327,66795 1325,88225 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-09 7,523 7,513 178,45 178,45 1342,47935 1340,69485 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-10 7,525 7,515 179,1 179,1 1347,7275 1345,9365 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-13 7,643 7,633 179,76 179,76 1373,90568 1372,10808 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-14 7,663 7,653 179,71 179,71 1377,11773 1375,32063 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-15 7,693 7,683 180,11 180,11 1385,58623 1383,78513 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-16 7,678 7,668 180,71 180,71 1387,49138 1385,68428 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-17 7,643 7,633 181,79 181,79 1389,42097 1387,60307 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-20 7,543 7,533 181,89 181,89 1371,99627 1370,17737 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-21 7,648 7,638 180,6 180,6 1381,2288 1379,4228 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-22 7,608 7,598 184,11 184,11 1400,70888 1398,86778 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-27 7,73 7,72 183,4 183,4 1417,682 1415,848 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-28 7,76 7,75 183,37 183,37 1422,9512 1421,1175 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-29 7,833 7,823 181,47 181,47 1421,45451 1419,63981 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-06-30 7,823 7,813 182,67 182,67 1429,02741 1427,20071 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-04 7,945 7,935 181,76 181,76 1444,0832 1442,2656 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-05 7,963 7,953 180,13 180,13 1434,37519 1432,57389 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-06 7,895 7,885 180,58 180,58 1425,6791 1423,8733 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-07 7,878 7,868 179,48 179,48 1413,94344 1412,14864 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-08 7,913 7,903 179 179 1416,427 1414,637 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-11 7,89 7,88 180,87 180,87 1427,0643 1425,2556 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-12 7,77 7,76 181,79 181,79 1412,5083 1410,6904 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-13 7,703 7,693 182,93 182,93 1409,10979 1407,28049 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-14 7,76 7,75 185,56 185,56 1439,9456 1438,09 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-15 7,76 7,75 185,61 185,61 1440,3336 1438,4775 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-18 7,78 7,77 185,88 185,88 1446,1464 1444,2876 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-19 7,878 7,868 186,1 186,1 1466,0958 1464,2348 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-20 7,818 7,808 186,62 186,62 1458,99516 1457,12896 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-21 7,775 7,765 185,72 185,72 1443,973 1442,1158 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-22 7,758 7,748 186,86 186,86 1449,65988 1447,79128 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-25 7,838 7,828 186,9 186,9 1464,9222 1463,0532 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-26 7,818 7,808 185,61 185,61 1451,09898 1449,24288 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-27 7,905 7,895 185,87 185,87 1469,30235 1467,44365 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-28 7,848 7,838 186,04 186,04 1460,04192 1458,18152 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-07-29 7,748 7,738 185,12 185,12 1434,30976 1432,45856 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-01 7,72 7,71 185,98 185,98 1435,7656 1433,9058 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-02 7,7 7,69 187,66 187,66 1444,982 1443,1054 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-03 7,685 7,675 189,01 189,01 1452,54185 1450,65175 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-04 7,618 7,608 188,89 188,89 1438,96402 1437,07512 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-05 7,548 7,538 188,14 188,14 1420,08072 1418,19932 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-08 7,558 7,548 187,28 187,28 1415,46224 1413,58944 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-09 7,548 7,538 186,67 186,67 1408,98516 1407,11846 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-10 7,558 7,548 187,91 187,91 1420,22378 1418,34468 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-11 7,523 7,513 187,66 187,66 1411,76618 1409,88958 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-12 7,46 7,45 188,29 188,29 1404,6434 1402,7605 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-16 7,523 7,513 186,52 186,52 1403,18996 1401,32476 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-17 7,605 7,595 186,76 186,76 1420,3098 1418,4422 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-18 7,61 7,6 183,27 183,27 1394,6847 1392,852 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-19 7,698 7,688 181,59 181,59 1397,87982 1396,06392 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-22 7,69 7,68 183,3 183,3 1409,577 1407,744 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-23 7,663 7,653 181,48 181,48 1390,68124 1388,86644 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-24 7,673 7,663 179,46 179,46 1376,99658 1375,20198 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-25 7,588 7,578 179,65 179,65 1363,1842 1361,3877 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-26 7,578 7,568 181,17 181,17 1372,90626 1371,09456 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-29 7,573 7,563 178,28 178,28 1350,11444 1348,33164 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-30 7,633 7,623 178,15 178,15 1359,81895 1358,03745 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-08-31 7,668 7,658 178,01 178,01 1364,98068 1363,20058 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-01 7,568 7,558 178,01 178,01 1347,17968 1345,39958 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-02 7,435 7,425 181,05 181,05 1346,10675 1344,29625 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-05 7,41 7,4 180,84 180,84 1340,0244 1338,216 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-06 7,485 7,475 181,01 181,01 1354,85985 1353,04975 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-07 7,43 7,42 180,73 180,73 1342,8239 1341,0166 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-08 7,498 7,488 179,82 179,82 1348,29036 1346,49216 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-09 7,523 7,513 179,71 179,71 1351,95833 1350,16123 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-12 7,555 7,545 181,41 181,41 1370,55255 1368,73845 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-13 7,57 7,56 180,67 180,67 1367,6719 1365,8652 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-14 7,61 7,6 180,33 180,33 1372,3113 1370,508 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-15 7,658 7,648 178,95 178,95 1370,3991 1368,6096 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-16 7,613 7,603 177,36 177,36 1350,24168 1348,46808 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-20 7,688 7,678 179,84 179,84 1382,60992 1380,81152 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-21 7,663 7,653 179,51 179,51 1375,58513 1373,79003 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-22 7,648 7,638 178,06 178,06 1361,80288 1360,02228 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-23 7,733 7,723 176,59 176,59 1365,57047 1363,80457 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-26 7,798 7,788 177,11 177,11 1381,10378 1379,33268 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-27 7,825 7,815 176,9 176,9 1384,2425 1382,4735 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-28 7,81 7,8 177,31 177,31 1384,7911 1383,018 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-29 7,785 7,775 180,35 180,35 1404,02475 1402,22125 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-09-30 7,785 7,775 181,76 181,76 1415,0016 1413,184 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-03 7,783 7,773 182,2 182,2 1418,0626 1416,2406 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-04 7,82 7,81 182,32 182,32 1425,7424 1423,9192 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-05 7,795 7,785 181,11 181,11 1411,75245 1409,94135 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-06 7,713 7,703 178,49 178,49 1376,69337 1374,90847 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-07 7,683 7,673 178,47 178,47 1371,18501 1369,40031 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-10 7,698 7,688 178,56 178,56 1374,55488 1372,76928 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-12 7,805 7,795 174,34 174,34 1360,7237 1358,9803 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-13 7,83 7,82 174,04 174,04 1362,7332 1360,9928 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-14 7,833 7,823 172,63 172,63 1352,21079 1350,48449 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-17 7,835 7,825 171,5 171,5 1343,7025 1341,9875 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-18 7,893 7,883 171,73 171,73 1355,46489 1353,74759 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-19 7,96 7,95 167,7 167,7 1334,892 1333,215 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-20 7,93 7,92 169,11 169,11 1341,0423 1339,3512 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-21 7,883 7,873 169,19 169,19 1333,72477 1332,03287 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-24 7,995 7,985 167,92 167,92 1342,5204 1340,8412 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-25 7,99 7,98 167,6 167,6 1339,124 1337,448 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-26 7,868 7,858 167,2 167,2 1315,5296 1313,8576 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-27 7,868 7,858 165,43 165,43 1301,60324 1299,94894 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-28 7,825 7,815 164,23 164,23 1285,09975 1283,45745 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-10-31 7,905 7,895 167,16 167,16 1321,3998 1319,7282 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-02 7,98 7,97 170,04 170,04 1356,9192 1355,2188 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-03 8,01 8 170,6 170,6 1366,506 1364,8 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-04 8,028 8,018 171,02 171,02 1372,94856 1371,23836 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-07 8,135 8,125 169,12 169,12 1375,7912 1374,1 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-08 8,17 8,16 169,07 169,07 1381,3019 1379,6112 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-09 8,12 8,11 171,44 171,44 1392,0928 1390,3784 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-10 8,173 8,163 172,37 172,37 1408,78001 1407,05631 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-11 8,235 8,225 174,69 174,69 1438,57215 1436,82525 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-14 8,133 8,123 174,45 174,45 1418,80185 1417,05735 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-15 8,185 8,175 173,95 173,95 1423,78075 1422,04125 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-16 8,21 8,2 173,41 173,41 1423,6961 1421,962 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-17 8,258 8,248 173,71 173,71 1434,49718 1432,76008 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-18 8,223 8,213 175,13 175,13 1440,09399 1438,34269 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-21 8,123 8,113 175,8 175,8 1428,0234 1426,2654 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-22 8,15 8,14 174,57 174,57 1422,7455 1420,9998 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-23 8,048 8,038 177,58 177,58 1429,16384 1427,38804 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-24 8,053 8,043 177,58 177,58 1430,05174 1428,27594 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-25 8,078 8,068 178,22 178,22 1439,66116 1437,87896 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-28 8,118 8,108 179,93 179,93 1460,67174 1458,87244 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-29 8,015 8,005 178,21 178,21 1428,35315 1426,57105 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-11-30 8,088 8,078 178,65 178,65 1444,9212 1443,1347 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-01 8,083 8,073 179,64 179,64 1452,03012 1450,23372 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-02 8,103 8,093 181,48 181,48 1470,53244 1468,71764 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-05 8,045 8,035 183,7 183,7 1477,8665 1476,0295 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-06 7,993 7,983 183,92 183,92 1470,07256 1468,23336 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-07 8,015 8,005 183,75 183,75 1472,75625 1470,91875 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-08 7,988 7,978 181,29 181,29 1448,14452 1446,33162 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-12 7,953 7,943 181,33 181,33 1442,11749 1440,30419 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-13 7,905 7,895 181,72 181,72 1436,4966 1434,6794 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-14 7,848 7,838 182,05 182,05 1428,7284 1426,9079 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-15 7,858 7,848 183,32 183,32 1440,52856 1438,69536 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-16 7,903 7,893 184,47 184,47 1457,86641 1456,02171 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-19 7,865 7,855 186,3 186,3 1465,2495 1463,3865 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-20 7,848 7,838 185,84 185,84 1458,47232 1456,61392 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-21 7,948 7,938 186,83 186,83 1484,92484 1483,05654 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-22 7,98 7,97 186,28 186,28 1486,5144 1484,6516 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-23 7,955 7,945 187,9 187,9 1494,7445 1492,8655 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-28 7,915 7,905 187,32 187,32 1482,6378 1480,7646 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-29 7,938 7,928 188,43 188,43 1495,75734 1493,87304 882126 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Greater China USD 2005-12-30 7,958 7,948 188,12 188,12 1497,05896 1495,17776 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-03 6,668 6,658 84,15 84,15 561,1122 560,2707 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-04 6,728 6,718 84,06 84,06 565,55568 564,71508 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-05 6,828 6,818 82,88 82,88 565,90464 565,07584 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-07 6,87 6,86 82,31 82,31 565,4697 564,6466 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-10 6,96091 6,95091 82,1 82,1 571,490711 570,669711 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-11 6,96091 6,95091 82,01 82,01 570,8642291 570,0441291 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-12 6,913 6,903 81,4 81,4 562,7182 561,9042 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-13 6,843 6,833 81,55 81,55 558,04665 557,23115 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-14 6,915 6,905 81,12 81,12 560,9448 560,1336 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-17 6,915 6,905 81,07 81,07 560,59905 559,78835 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-19 6,91 6,9 81,29 81,29 561,7139 560,901 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-20 6,96 6,95 80,23 80,23 558,4008 557,5985 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-21 6,978 6,968 78,83 78,83 550,07574 549,28744 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-24 6,933 6,923 78,87 78,87 546,80571 546,01701 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-25 6,95 6,94 78,39 78,39 544,8105 544,0266 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-26 6,995 6,985 78,23 78,23 547,21885 546,43655 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-27 6,93 6,92 79,19 79,19 548,7867 547,9948 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-28 6,985 6,975 79,34 79,34 554,1899 553,3965 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-01-31 6,998 6,988 79,02 79,02 552,98196 552,19176 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-01 6,993 6,983 79,47 79,47 555,73371 554,93901 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-02 6,953 6,943 79,81 79,81 554,91893 554,12083 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-03 6,968 6,958 79,87 79,87 556,53416 555,73546 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-04 7,01 7 79,28 79,28 555,7528 554,96 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-07 7,065 7,055 80,23 80,23 566,82495 566,02265 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-08 7,123 7,113 80,07 80,07 570,33861 569,53791 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-09 7,1 7,09 79,84 79,84 566,864 566,0656 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-10 7,088 7,078 79,42 79,42 562,92896 562,13476 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-11 7,068 7,058 79,18 79,18 559,64424 558,85244 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-14 7,03 7,02 79,68 79,68 560,1504 559,3536 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-15 7,005 6,995 80,24 80,24 562,0812 561,2788 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-16 6,973 6,963 80,44 80,44 560,90812 560,10372 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-17 6,97 6,96 80,1 80,1 558,297 557,496 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-18 6,965 6,955 79,7 79,7 555,1105 554,3135 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-21 6,978 6,968 79,24 79,24 552,93672 552,14432 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-23 6,895 6,885 78,66 78,66 542,3607 541,5741 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-24 6,858 6,848 78,63 78,63 539,24454 538,45824 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-25 6,885 6,875 79,15 79,15 544,94775 544,15625 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-02-28 6,828 6,818 79,77 79,77 544,66956 543,87186 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-01 6,87 6,86 79,59 79,59 546,7833 545,9874 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-02 6,888 6,878 79,79 79,79 549,59352 548,79562 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-03 6,903 6,893 79,66 79,66 549,89298 549,09638 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-04 6,9 6,89 79,4 79,4 547,86 547,066 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-07 6,84 6,83 79,94 79,94 546,7896 545,9902 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-08 6,825 6,815 80,38 80,38 548,5935 547,7897 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-09 6,76 6,75 80,19 80,19 542,0844 541,2825 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-10 6,745 6,735 80,04 80,04 539,8698 539,0694 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-11 6,765 6,755 79,89 79,89 540,45585 539,65695 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-14 6,76 6,75 79,8 79,8 539,448 538,65 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-15 6,815 6,805 79,3 79,3 540,4295 539,6365 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-16 6,81 6,8 78,98 78,98 537,8538 537,064 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-17 6,795 6,785 78,23 78,23 531,57285 530,79055 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-18 6,828 6,818 78,22 78,22 534,08616 533,30396 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-21 6,908 6,898 77,83 77,83 537,64964 536,87134 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-22 6,928 6,918 77,27 77,27 535,32656 534,55386 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-23 6,973 6,963 77,17 77,17 538,10641 537,33471 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-24 7,008 6,998 76,36 76,36 535,13088 534,36728 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-29 7,055 7,045 76,12 76,12 537,0266 536,2654 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-30 7,053 7,043 75,87 75,87 535,11111 534,35241 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-03-31 7,065 7,055 76,46 76,46 540,1899 539,4253 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-01 7,07 7,06 76,81 76,81 543,0467 542,2786 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-04 7,113 7,103 76,5 76,5 544,1445 543,3795 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-05 7,163 7,153 76,28 76,28 546,39364 545,63084 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-06 7,125 7,115 76,76 76,76 546,915 546,1474 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-07 7,083 7,073 76,6 76,6 542,5578 541,7918 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-08 7,153 7,143 77,31 77,31 552,99843 552,22533 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-11 7,098 7,088 76,94 76,94 546,12012 545,35072 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-12 7,048 7,038 77,13 77,13 543,61224 542,84094 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-13 7,075 7,065 77,03 77,03 544,98725 544,21695 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-14 7,12 7,11 76,75 76,75 546,46 545,6925 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-15 7,17 7,16 76,09 76,09 545,5653 544,8044 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-18 7,08 7,07 74,66 74,66 528,5928 527,8462 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-19 7,068 7,058 74,19 74,19 524,37492 523,63302 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-20 7,043 7,033 74,74 74,74 526,39382 525,64642 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-21 7,025 7,015 74,68 74,68 524,627 523,8802 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-22 7,023 7,013 76,04 76,04 534,02892 533,26852 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-25 7,04 7,03 76,07 76,07 535,5328 534,7721 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-26 7,035 7,025 76,13 76,13 535,57455 534,81325 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-27 7,085 7,075 75,58 75,58 535,4843 534,7285 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-28 7,085 7,075 75,06 75,06 531,8001 531,0495 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-04-29 7,08 7,07 74,62 74,62 528,3096 527,5634 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-02 7,15 7,14 75,02 75,02 536,393 535,6428 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-03 7,178 7,168 74,86 74,86 537,34508 536,59648 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-04 7,11 7,1 75,04 75,04 533,5344 532,784 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-06 7,085 7,075 76,21 76,21 539,94785 539,18575 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-09 7,168 7,158 76,56 76,56 548,78208 548,01648 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-10 7,178 7,168 76,44 76,44 548,68632 547,92192 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-11 7,15 7,14 76,01 76,01 543,4715 542,7114 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-12 7,243 7,233 75,88 75,88 549,59884 548,84004 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-13 7,265 7,255 75,8 75,8 550,687 549,929 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-17 7,313 7,303 75,59 75,59 552,78967 552,03377 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-18 7,3 7,29 75,83 75,83 553,559 552,8007 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-19 7,26 7,25 76,8 76,8 557,568 556,8 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-20 7,28 7,27 77,22 77,22 562,1616 561,3894 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-23 7,32 7,31 77,42 77,42 566,7144 565,9402 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-24 7,295 7,285 77,91 77,91 568,35345 567,57435 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-25 7,298 7,288 77,49 77,49 565,52202 564,74712 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-26 7,33 7,32 77,13 77,13 565,3629 564,5916 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-27 7,338 7,328 77,62 77,62 569,57556 568,79936 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-30 7,338 7,328 77,49 77,49 568,62162 567,84672 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-05-31 7,403 7,393 77,49 77,49 573,65847 572,88357 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-01 7,428 7,418 77,22 77,22 573,59016 572,81796 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-02 7,473 7,463 77,38 77,38 578,26074 577,48694 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-03 7,438 7,428 77,47 77,47 576,22186 575,44716 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-07 7,448 7,438 76,98 76,98 573,34704 572,57724 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-08 7,435 7,425 77,52 77,52 576,3612 575,586 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-09 7,523 7,513 77,41 77,41 582,35543 581,58133 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-10 7,525 7,515 76,98 76,98 579,2745 578,5047 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-13 7,643 7,633 76,88 76,88 587,59384 586,82504 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-14 7,663 7,653 77,1 77,1 590,8173 590,0463 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-15 7,693 7,683 77,22 77,22 594,05346 593,28126 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-16 7,678 7,668 77,4 77,4 594,2772 593,5032 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-17 7,643 7,633 77,65 77,65 593,47895 592,70245 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-20 7,543 7,533 78,18 78,18 589,71174 588,92994 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-21 7,648 7,638 77,97 77,97 596,31456 595,53486 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-22 7,608 7,598 78,09 78,09 594,10872 593,32782 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-27 7,73 7,72 77,05 77,05 595,5965 594,826 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-28 7,76 7,75 76,66 76,66 594,8816 594,115 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-29 7,833 7,823 76,91 76,91 602,43603 601,66693 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-06-30 7,823 7,813 77,65 77,65 607,45595 606,67945 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-01 7,858 7,848 77,54 77,54 609,30932 608,53392 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-04 7,945 7,935 77,39 77,39 614,86355 614,08965 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-05 7,963 7,953 77,09 77,09 613,86767 613,09677 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-06 7,895 7,885 77,09 77,09 608,62555 607,85465 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-07 7,878 7,868 77,25 77,25 608,5755 607,803 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-08 7,913 7,903 76,76 76,76 607,40188 606,63428 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-11 7,89 7,88 77,67 77,67 612,8163 612,0396 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-12 7,77 7,76 78,95 78,95 613,4415 612,652 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-13 7,703 7,693 79,54 79,54 612,69662 611,90122 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-14 7,76 7,75 79,47 79,47 616,6872 615,8925 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-15 7,76 7,75 79,81 79,81 619,3256 618,5275 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-18 7,78 7,77 79,39 79,39 617,6542 616,8603 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-19 7,878 7,868 79 79 622,362 621,572 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-20 7,818 7,808 79,74 79,74 623,40732 622,60992 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-21 7,775 7,765 79,68 79,68 619,512 618,7152 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-22 7,758 7,748 79,64 79,64 617,84712 617,05072 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-25 7,838 7,828 79,71 79,71 624,76698 623,96988 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-26 7,818 7,808 79,68 79,68 622,93824 622,14144 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-27 7,905 7,895 80,02 80,02 632,5581 631,7579 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-28 7,848 7,838 80,74 80,74 633,64752 632,84012 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-07-29 7,748 7,738 81,55 81,55 631,8494 631,0339 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-01 7,72 7,71 81,7 81,7 630,724 629,907 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-02 7,7 7,69 82 82 631,4 630,58 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-03 7,685 7,675 82,49 82,49 633,93565 633,11075 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-04 7,618 7,608 82,79 82,79 630,69422 629,86632 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-05 7,548 7,538 82,21 82,21 620,52108 619,69898 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-08 7,558 7,548 81,59 81,59 616,65722 615,84132 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-09 7,548 7,538 81,94 81,94 618,48312 617,66372 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-10 7,558 7,548 82,51 82,51 623,61058 622,78548 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-11 7,523 7,513 82,62 82,62 621,55026 620,72406 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-12 7,46 7,45 82,83 82,83 617,9118 617,0835 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-16 7,523 7,513 82,74 82,74 622,45302 621,62562 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-17 7,605 7,595 82,08 82,08 624,2184 623,3976 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-18 7,61 7,6 81,97 81,97 623,7917 622,972 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-19 7,698 7,688 81,39 81,39 626,54022 625,72632 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-22 7,69 7,68 81,7 81,7 628,273 627,456 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-23 7,663 7,653 82,38 82,38 631,27794 630,45414 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-24 7,673 7,663 82,14 82,14 630,26022 629,43882 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-25 7,588 7,578 81,03 81,03 614,85564 614,04534 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-26 7,578 7,568 81,03 81,03 614,04534 613,23504 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-29 7,573 7,563 80,73 80,73 611,36829 610,56099 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-30 7,633 7,623 80,84 80,84 617,05172 616,24332 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-08-31 7,668 7,658 80,4 80,4 616,5072 615,7032 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-01 7,568 7,558 81,33 81,33 615,50544 614,69214 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-02 7,435 7,425 82,24 82,24 611,4544 610,632 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-05 7,41 7,4 82,36 82,36 610,2876 609,464 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-06 7,485 7,475 82,43 82,43 616,98855 616,16425 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-07 7,43 7,42 83,14 83,14 617,7302 616,8988 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-08 7,498 7,488 83,09 83,09 623,00882 622,17792 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-09 7,523 7,513 82,81 82,81 622,97963 622,15153 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-12 7,555 7,545 83,33 83,33 629,55815 628,72485 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-13 7,57 7,56 82,89 82,89 627,4773 626,6484 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-14 7,61 7,6 82,5 82,5 627,825 627 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-15 7,658 7,648 82,71 82,71 633,39318 632,56608 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-16 7,613 7,603 82,66 82,66 629,29058 628,46398 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-19 7,698 7,688 83,35 83,35 641,6283 640,7948 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-20 7,688 7,678 82,67 82,67 635,56696 634,74026 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-21 7,663 7,653 82,65 82,65 633,34695 632,52045 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-22 7,648 7,638 82,34 82,34 629,73632 628,91292 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-23 7,733 7,723 82 82 634,106 633,286 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-26 7,798 7,788 82,58 82,58 643,95884 643,13304 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-27 7,825 7,815 82,41 82,41 644,85825 644,03415 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-28 7,81 7,8 82,18 82,18 641,8258 641,004 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-29 7,785 7,775 82,92 82,92 645,5322 644,703 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-09-30 7,785 7,775 82,87 82,87 645,14295 644,31425 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-03 7,783 7,773 83,44 83,44 649,41352 648,57912 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-04 7,82 7,81 82,99 82,99 648,9818 648,1519 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-05 7,795 7,785 83,56 83,56 651,3502 650,5146 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-06 7,713 7,703 82,84 82,84 638,94492 638,11652 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-07 7,683 7,673 82,59 82,59 634,53897 633,71307 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-10 7,698 7,688 82,37 82,37 634,08426 633,26056 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-11 7,77 7,76 81,81 81,81 635,6637 634,8456 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-12 7,805 7,795 81,57 81,57 636,65385 635,83815 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-13 7,83 7,82 80,95 80,95 633,8385 633,029 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-14 7,833 7,823 79,63 79,63 623,74179 622,94549 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-17 7,835 7,825 80,42 80,42 630,0907 629,2865 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-18 7,893 7,883 79,98 79,98 631,28214 630,48234 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-19 7,96 7,95 78,99 78,99 628,7604 627,9705 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-20 7,93 7,92 78,84 78,84 625,2012 624,4128 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-21 7,883 7,873 78,48 78,48 618,65784 617,87304 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-24 7,995 7,985 78,96 78,96 631,2852 630,4956 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-25 7,99 7,98 80,13 80,13 640,2387 639,4374 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-26 7,868 7,858 80,72 80,72 635,10496 634,29776 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-27 7,868 7,858 80,78 80,78 635,57704 634,76924 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-28 7,825 7,815 79,83 79,83 624,66975 623,87145 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-10-31 7,905 7,895 80,14 80,14 633,5067 632,7053 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-02 7,98 7,97 81,07 81,07 646,9386 646,1279 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-03 8,01 8 81,69 81,69 654,3369 653,52 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-04 8,028 8,018 82,18 82,18 659,74104 658,91924 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-07 8,135 8,125 81,54 81,54 663,3279 662,5125 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-08 8,17 8,16 81,37 81,37 664,7929 663,9792 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-09 8,12 8,11 81,58 81,58 662,4296 661,6138 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-10 8,173 8,163 81,31 81,31 664,54663 663,73353 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-11 8,235 8,225 81,5 81,5 671,1525 670,3375 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-14 8,133 8,123 81,4 81,4 662,0262 661,2122 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-15 8,185 8,175 81,23 81,23 664,86755 664,05525 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-16 8,21 8,2 79,51 79,51 652,7771 651,982 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-17 8,258 8,248 79,29 79,29 654,77682 653,98392 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-18 8,223 8,213 80,26 80,26 659,97798 659,17538 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-21 8,123 8,113 80,43 80,43 653,33289 652,52859 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-22 8,15 8,14 80,53 80,53 656,3195 655,5142 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-23 8,048 8,038 80,62 80,62 648,82976 648,02356 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-24 8,053 8,043 81,31 81,31 654,78943 653,97633 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-25 8,078 8,068 81,4 81,4 657,5492 656,7352 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-28 8,118 8,108 81,63 81,63 662,67234 661,85604 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-29 8,015 8,005 81,43 81,43 652,66145 651,84715 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-11-30 8,088 8,078 81,36 81,36 658,03968 657,22608 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-01 8,083 8,073 81,15 81,15 655,93545 655,12395 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-02 8,103 8,093 82,1 82,1 665,2563 664,4353 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-05 8,045 8,035 81,51 81,51 655,74795 654,93285 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-06 7,993 7,983 81,56 81,56 651,90908 651,09348 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-07 8,015 8,005 82,09 82,09 657,95135 657,13045 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-08 7,988 7,978 81,88 81,88 654,05744 653,23864 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-12 7,953 7,943 81,98 81,98 651,98694 651,16714 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-13 7,905 7,895 82,31 82,31 650,66055 649,83745 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-14 7,848 7,838 82,06 82,06 644,00688 643,18628 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-15 7,858 7,848 82,46 82,46 647,97068 647,14608 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-16 7,903 7,893 82,12 82,12 648,99436 648,17316 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-19 7,865 7,855 82,04 82,04 645,2446 644,4242 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-20 7,848 7,838 81,67 81,67 640,94616 640,12946 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-21 7,948 7,938 81,32 81,32 646,33136 645,51816 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-22 7,98 7,97 81,23 81,23 648,2154 647,4031 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-23 7,955 7,945 81,57 81,57 648,88935 648,07365 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-27 8,01 8 81,67 81,67 654,1767 653,36 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-28 7,915 7,905 81,75 81,75 647,05125 646,23375 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-29 7,938 7,928 81,9 81,9 650,1222 649,3032 296749 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - Telecom USD 2005-12-30 7,958 7,948 81,92 81,92 651,91936 651,10016 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-03 6,668 6,658 97,93 97,93 652,99724 652,01794 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-04 6,728 6,718 97,4 97,4 655,3072 654,3332 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-05 6,828 6,818 96,31 96,31 657,60468 656,64158 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-07 6,87 6,86 96,34 96,34 661,8558 660,8924 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-10 6,96091 6,95091 96,27 96,27 670,1268057 669,1641057 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-11 6,96091 6,95091 96,64 96,64 672,7023424 671,7359424 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-12 6,913 6,903 96,12 96,12 664,47756 663,51636 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-13 6,843 6,833 96,38 96,38 659,52834 658,56454 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-14 6,915 6,905 95,44 95,44 659,9676 659,0132 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-17 6,915 6,905 96,01 96,01 663,90915 662,94905 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-18 6,968 6,958 96,01 96,01 668,99768 668,03758 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-19 6,91 6,9 97,03 97,03 670,4773 669,507 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-20 6,96 6,95 96,08 96,08 668,7168 667,756 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-21 6,978 6,968 95,62 95,62 667,23636 666,28016 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-24 6,933 6,923 94,89 94,89 657,87237 656,92347 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-25 6,95 6,94 94,67 94,67 657,9565 657,0098 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-26 6,995 6,985 95,17 95,17 665,71415 664,76245 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-27 6,93 6,92 95,44 95,44 661,3992 660,4448 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-28 6,985 6,975 95,68 95,68 668,3248 667,368 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-01-31 6,998 6,988 95,33 95,33 667,11934 666,16604 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-01 6,993 6,983 96 96 671,328 670,368 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-02 6,953 6,943 96,69 96,69 672,28557 671,31867 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-03 6,968 6,958 97,03 97,03 676,10504 675,13474 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-04 7,01 7 96,81 96,81 678,6381 677,67 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-07 7,065 7,055 97,94 97,94 691,9461 690,9667 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-08 7,123 7,113 97,83 97,83 696,84309 695,86479 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-09 7,1 7,09 97,98 97,98 695,658 694,6782 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-10 7,088 7,078 96,99 96,99 687,46512 686,49522 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-11 7,068 7,058 97,29 97,29 687,64572 686,67282 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-14 7,03 7,02 98,02 98,02 689,0806 688,1004 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-15 7,005 6,995 98,02 98,02 686,6301 685,6499 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-16 6,973 6,963 98,24 98,24 685,02752 684,04512 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-17 6,97 6,96 98,21 98,21 684,5237 683,5416 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-18 6,965 6,955 97,52 97,52 679,2268 678,2516 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-21 6,978 6,968 97,7 97,7 681,7506 680,7736 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-23 6,895 6,885 96,41 96,41 664,74695 663,78285 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-24 6,858 6,848 96,93 96,93 664,74594 663,77664 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-25 6,885 6,875 97,58 97,58 671,8383 670,8625 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-02-28 6,828 6,818 98,39 98,39 671,80692 670,82302 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-01 6,87 6,86 97,8 97,8 671,886 670,908 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-02 6,888 6,878 98,41 98,41 677,84808 676,86398 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-03 6,903 6,893 98,58 98,58 680,49774 679,51194 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-04 6,9 6,89 98,55 98,55 679,995 679,0095 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-07 6,84 6,83 99,49 99,49 680,5116 679,5167 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-08 6,825 6,815 99,64 99,64 680,043 679,0466 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-09 6,76 6,75 99,02 99,02 669,3752 668,385 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-10 6,745 6,735 98,06 98,06 661,4147 660,4341 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-11 6,765 6,755 98,24 98,24 664,5936 663,6112 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-14 6,76 6,75 97,54 97,54 659,3704 658,395 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-15 6,815 6,805 98,16 98,16 668,9604 667,9788 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-16 6,81 6,8 97,36 97,36 663,0216 662,048 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-17 6,795 6,785 96,54 96,54 655,9893 655,0239 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-18 6,828 6,818 96,67 96,67 660,06276 659,09606 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-21 6,908 6,898 96,62 96,62 667,45096 666,48476 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-22 6,928 6,918 96,12 96,12 665,91936 664,95816 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-23 6,973 6,963 95,25 95,25 664,17825 663,22575 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-24 7,008 6,998 95,32 95,32 668,00256 667,04936 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-29 7,055 7,045 95,52 95,52 673,8936 672,9384 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-30 7,053 7,043 94,66 94,66 667,63698 666,69038 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-03-31 7,065 7,055 95,91 95,91 677,60415 676,64505 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-01 7,07 7,06 95,83 95,83 677,5181 676,5598 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-04 7,113 7,103 95,19 95,19 677,08647 676,13457 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-05 7,163 7,153 95,39 95,39 683,27857 682,32467 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-06 7,125 7,115 95,79 95,79 682,50375 681,54585 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-07 7,083 7,073 96,02 96,02 680,10966 679,14946 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-08 7,153 7,143 96,57 96,57 690,76521 689,79951 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-11 7,098 7,088 95,8 95,8 679,9884 679,0304 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-12 7,048 7,038 95,91 95,91 675,97368 675,01458 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-13 7,075 7,065 96,28 96,28 681,181 680,2182 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-14 7,12 7,11 95,38 95,38 679,1056 678,1518 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-15 7,17 7,16 94,71 94,71 679,0707 678,1236 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-18 7,08 7,07 93,39 93,39 661,2012 660,2673 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-19 7,068 7,058 93,7 93,7 662,2716 661,3346 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-20 7,043 7,033 94,09 94,09 662,67587 661,73497 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-21 7,025 7,015 93 93 653,325 652,395 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-22 7,023 7,013 94,77 94,77 665,56971 664,62201 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-25 7,04 7,03 94,2 94,2 663,168 662,226 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-26 7,035 7,025 94,87 94,87 667,41045 666,46175 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-27 7,085 7,075 94,19 94,19 667,33615 666,39425 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-28 7,085 7,075 94,59 94,59 670,17015 669,22425 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-04-29 7,08 7,07 93,48 93,48 661,8384 660,9036 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-02 7,15 7,14 94,44 94,44 675,246 674,3016 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-03 7,178 7,168 94,82 94,82 680,61796 679,66976 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-04 7,11 7,1 94,56 94,56 672,3216 671,376 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-06 7,085 7,075 95,23 95,23 674,70455 673,75225 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-09 7,168 7,158 95,11 95,11 681,74848 680,79738 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-10 7,178 7,168 95,57 95,57 686,00146 685,04576 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-11 7,15 7,14 94,72 94,72 677,248 676,3008 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-12 7,243 7,233 95,18 95,18 689,38874 688,43694 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-13 7,265 7,255 94,44 94,44 686,1066 685,1622 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-17 7,313 7,303 94,99 94,99 694,66187 693,71197 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-18 7,3 7,29 95,57 95,57 697,661 696,7053 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-19 7,26 7,25 96,49 96,49 700,5174 699,5525 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-20 7,28 7,27 96,75 96,75 704,34 703,3725 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-23 7,32 7,31 96,5 96,5 706,38 705,415 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-24 7,295 7,285 96,75 96,75 705,79125 704,82375 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-25 7,298 7,288 96,79 96,79 706,37342 705,40552 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-26 7,33 7,32 96,47 96,47 707,1251 706,1604 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-27 7,338 7,328 97,05 97,05 712,1529 711,1824 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-30 7,338 7,328 97,01 97,01 711,85938 710,88928 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-05-31 7,403 7,393 97,01 97,01 718,16503 717,19493 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-01 7,428 7,418 96,21 96,21 714,64788 713,68578 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-02 7,473 7,463 97,07 97,07 725,40411 724,43341 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-03 7,438 7,428 97,17 97,17 722,75046 721,77876 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-07 7,448 7,438 96,42 96,42 718,13616 717,17196 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-08 7,435 7,425 96,33 96,33 716,21355 715,25025 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-09 7,523 7,513 96,04 96,04 722,50892 721,54852 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-10 7,525 7,515 96,44 96,44 725,711 724,7466 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-13 7,643 7,633 96,41 96,41 736,86163 735,89753 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-14 7,663 7,653 96,45 96,45 739,09635 738,13185 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-15 7,693 7,683 96,51 96,51 742,45143 741,48633 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-16 7,678 7,668 96,67 96,67 742,23226 741,26556 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-17 7,643 7,633 96,95 96,95 740,98885 740,01935 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-20 7,543 7,533 97,27 97,27 733,70761 732,73491 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-21 7,648 7,638 97,17 97,17 743,15616 742,18446 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-22 7,608 7,598 97,05 97,05 738,3564 737,3859 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-27 7,73 7,72 95,49 95,49 738,1377 737,1828 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-28 7,76 7,75 95,4 95,4 740,304 739,35 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-29 7,833 7,823 96,44 96,44 755,41452 754,45012 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-06-30 7,823 7,813 96,46 96,46 754,60658 753,64198 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-01 7,858 7,848 95,49 95,49 750,36042 749,40552 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-04 7,945 7,935 95,62 95,62 759,7009 758,7447 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-06 7,895 7,885 96,35 96,35 760,68325 759,71975 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-07 7,878 7,868 95,56 95,56 752,82168 751,86608 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-08 7,913 7,903 95,77 95,77 757,82801 756,87031 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-11 7,89 7,88 96,82 96,82 763,9098 762,9416 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-12 7,77 7,76 97,29 97,29 755,9433 754,9704 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-13 7,703 7,693 97,56 97,56 751,50468 750,52908 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-14 7,76 7,75 97,6 97,6 757,376 756,4 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-15 7,76 7,75 97,96 97,96 760,1696 759,19 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-18 7,78 7,77 98,06 98,06 762,9068 761,9262 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-19 7,878 7,868 97,36 97,36 767,00208 766,02848 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-20 7,818 7,808 97,98 97,98 766,00764 765,02784 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-21 7,775 7,765 98,68 98,68 767,237 766,2502 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-22 7,758 7,748 98,01 98,01 760,36158 759,38148 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-25 7,838 7,828 98,38 98,38 771,10244 770,11864 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-26 7,818 7,808 97,95 97,95 765,7731 764,7936 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-27 7,905 7,895 98,04 98,04 775,0062 774,0258 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-28 7,848 7,838 98,35 98,35 771,8508 770,8673 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-07-29 7,748 7,738 98,92 98,92 766,43216 765,44296 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-01 7,72 7,71 98,25 98,25 758,49 757,5075 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-02 7,7 7,69 98,61 98,61 759,297 758,3109 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-03 7,685 7,675 99,01 99,01 760,89185 759,90175 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-04 7,618 7,608 99,26 99,26 756,16268 755,17008 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-05 7,548 7,538 98,7 98,7 744,9876 744,0006 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-08 7,558 7,548 98,01 98,01 740,75958 739,77948 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-09 7,548 7,538 97,78 97,78 738,04344 737,06564 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-10 7,558 7,548 98,37 98,37 743,48046 742,49676 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-11 7,523 7,513 98,26 98,26 739,20998 738,22738 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-12 7,46 7,45 99,08 99,08 739,1368 738,146 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-16 7,523 7,513 98,65 98,65 742,14395 741,15745 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-17 7,605 7,595 97,59 97,59 742,17195 741,19605 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-18 7,61 7,6 97,45 97,45 741,5945 740,62 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-19 7,698 7,688 97,32 97,32 749,16936 748,19616 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-22 7,69 7,68 97,42 97,42 749,1598 748,1856 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-23 7,663 7,653 97,48 97,48 746,98924 746,01444 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-24 7,673 7,663 97,3 97,3 746,5829 745,6099 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-25 7,588 7,578 96,66 96,66 733,45608 732,48948 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-26 7,578 7,568 96,8 96,8 733,5504 732,5824 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-29 7,573 7,563 96,2 96,2 728,5226 727,5606 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-30 7,633 7,623 96,98 96,98 740,24834 739,27854 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-08-31 7,668 7,658 96,58 96,58 740,57544 739,60964 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-01 7,568 7,558 97,7 97,7 739,3936 738,4166 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-02 7,435 7,425 97,7 97,7 726,3995 725,4225 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-05 7,41 7,4 97,14 97,14 719,8074 718,836 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-07 7,43 7,42 98,51 98,51 731,9293 730,9442 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-08 7,498 7,488 98,81 98,81 740,87738 739,88928 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-09 7,523 7,513 98,53 98,53 741,24119 740,25589 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-12 7,555 7,545 99,12 99,12 748,8516 747,8604 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-13 7,57 7,56 99,1 99,1 750,187 749,196 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-14 7,61 7,6 98,48 98,48 749,4328 748,448 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-15 7,658 7,648 98,17 98,17 751,78586 750,80416 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-16 7,613 7,603 98,25 98,25 747,97725 746,99475 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-19 7,698 7,688 98,95 98,95 761,7171 760,7276 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-20 7,688 7,678 98,53 98,53 757,49864 756,51334 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-21 7,663 7,653 97,9 97,9 750,2077 749,2287 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-22 7,648 7,638 96,95 96,95 741,4736 740,5041 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-23 7,733 7,723 97,16 97,16 751,33828 750,36668 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-26 7,798 7,788 97,02 97,02 756,56196 755,59176 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-27 7,825 7,815 97,07 97,07 759,57275 758,60205 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-28 7,81 7,8 97,11 97,11 758,4291 757,458 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-29 7,785 7,775 97,19 97,19 756,62415 755,65225 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-09-30 7,785 7,775 97,99 97,99 762,85215 761,87225 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-03 7,783 7,773 97,92 97,92 762,11136 761,13216 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-04 7,82 7,81 97,72 97,72 764,1704 763,1932 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-05 7,795 7,785 97,01 97,01 756,19295 755,22285 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-06 7,713 7,703 95,67 95,67 737,90271 736,94601 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-07 7,683 7,673 95,3 95,3 732,1899 731,2369 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-10 7,698 7,688 95,59 95,59 735,85182 734,89592 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-12 7,805 7,795 94,48 94,48 737,4164 736,4716 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-13 7,83 7,82 94,02 94,02 736,1766 735,2364 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-14 7,833 7,823 94,15 94,15 737,47695 736,53545 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-17 7,835 7,825 94,86 94,86 743,2281 742,2795 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-18 7,893 7,883 94,95 94,95 749,44035 748,49085 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-19 7,96 7,95 93,99 93,99 748,1604 747,2205 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-20 7,93 7,92 95,19 95,19 754,8567 753,9048 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-21 7,883 7,873 93,87 93,87 739,97721 739,03851 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-24 7,995 7,985 94,03 94,03 751,76985 750,82955 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-25 7,99 7,98 95,48 95,48 762,8852 761,9304 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-26 7,868 7,858 95,71 95,71 753,04628 752,08918 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-27 7,868 7,858 95,22 95,22 749,19096 748,23876 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-28 7,825 7,815 94,26 94,26 737,5845 736,6419 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-10-31 7,905 7,895 95,57 95,57 755,48085 754,52515 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-02 7,98 7,97 95,77 95,77 764,2446 763,2869 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-03 8,01 8 96,66 96,66 774,2466 773,28 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-04 8,028 8,018 97,14 97,14 779,83992 778,86852 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-07 8,135 8,125 97,23 97,23 790,96605 789,99375 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-08 8,17 8,16 97,41 97,41 795,8397 794,8656 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-09 8,12 8,11 97,18 97,18 789,1016 788,1298 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-10 8,173 8,163 97,41 97,41 796,13193 795,15783 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-11 8,235 8,225 98,14 98,14 808,1829 807,2015 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-14 8,133 8,123 98,33 98,33 799,71789 798,73459 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-15 8,185 8,175 98,28 98,28 804,4218 803,439 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-16 8,21 8,2 97,91 97,91 803,8411 802,862 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-17 8,258 8,248 98,07 98,07 809,86206 808,88136 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-18 8,223 8,213 99,06 99,06 814,57038 813,57978 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-21 8,123 8,113 99,57 99,57 808,80711 807,81141 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-22 8,15 8,14 99,66 99,66 812,229 811,2324 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-23 8,048 8,038 99,69 99,69 802,30512 801,30822 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-24 8,053 8,043 100,27 100,27 807,47431 806,47161 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-28 8,118 8,108 100,6 100,6 816,6708 815,6648 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-29 8,015 8,005 99,85 99,85 800,29775 799,29925 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-11-30 8,088 8,078 99,84 99,84 807,50592 806,50752 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-01 8,083 8,073 99,36 99,36 803,12688 802,13328 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-02 8,103 8,093 100,56 100,56 814,83768 813,83208 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-05 8,045 8,035 100,56 100,56 809,0052 807,9996 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-06 7,993 7,983 100,07 100,07 799,85951 798,85881 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-07 8,015 8,005 100,15 100,15 802,70225 801,70075 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-08 7,988 7,978 99,71 99,71 796,48348 795,48638 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-12 7,953 7,943 99,71 99,71 792,99363 791,99653 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-13 7,905 7,895 99,92 99,92 789,8676 788,8684 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-14 7,848 7,838 100,29 100,29 787,07592 786,07302 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-15 7,858 7,848 100,56 100,56 790,20048 789,19488 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-16 7,903 7,893 100,41 100,41 793,54023 792,53613 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-19 7,865 7,855 100,04 100,04 786,8146 785,8142 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-20 7,848 7,838 99,29 99,29 779,22792 778,23502 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-21 7,948 7,938 99,37 99,37 789,79276 788,79906 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-22 7,98 7,97 99,71 99,71 795,6858 794,6887 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-23 7,955 7,945 100,22 100,22 797,2501 796,2479 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-27 8,01 8 100,34 100,34 803,7234 802,72 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-28 7,915 7,905 99,41 99,41 786,83015 785,83605 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-29 7,938 7,928 99,61 99,61 790,70418 789,70808 953786 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - US Equities USD 2005-12-30 7,958 7,948 99,27 99,27 789,99066 788,99796 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-04 6,728 6,718 421,01 421,01 2832,55528 2828,34518 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-05 6,828 6,818 419,41 419,41 2863,73148 2859,53738 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-07 6,87 6,86 419,97 419,97 2885,1939 2880,9942 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-10 6,96091 6,95091 419,79 419,79 2922,1204089 2917,9225089 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-11 6,96091 6,95091 420,08 420,08 2924,1390728 2919,9382728 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-12 6,913 6,903 420,86 420,86 2909,40518 2905,19658 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-13 6,843 6,833 421,18 421,18 2882,13474 2877,92294 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-14 6,915 6,905 422,33 422,33 2920,41195 2916,18865 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-17 6,915 6,905 421,79 421,79 2916,67785 2912,45995 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-18 6,968 6,958 421,79 421,79 2939,03272 2934,81482 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-19 6,91 6,9 422,45 422,45 2919,1295 2914,905 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-20 6,96 6,95 422,58 422,58 2941,1568 2936,931 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-21 6,978 6,968 423,28 423,28 2953,64784 2949,41504 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-24 6,933 6,923 423,59 423,59 2936,74947 2932,51357 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-25 6,95 6,94 424,24 424,24 2948,468 2944,2256 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-26 6,995 6,985 422,93 422,93 2958,39535 2954,16605 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-27 6,93 6,92 422,8 422,8 2930,004 2925,776 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-28 6,985 6,975 422,52 422,52 2951,3022 2947,077 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-01-31 6,998 6,988 424,04 424,04 2967,43192 2963,19152 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-01 6,993 6,983 424,21 424,21 2966,50053 2962,25843 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-02 6,953 6,943 424,21 424,21 2949,53213 2945,29003 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-03 6,968 6,958 424,14 424,14 2955,40752 2951,16612 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-04 7,01 7 423,79 423,79 2970,7679 2966,53 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-07 7,065 7,055 425,92 425,92 3009,1248 3004,8656 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-08 7,123 7,113 426,59 426,59 3038,60057 3034,33467 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-09 7,1 7,09 427,07 427,07 3032,197 3027,9263 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-10 7,088 7,078 428,21 428,21 3035,15248 3030,87038 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-11 7,068 7,058 426,22 426,22 3012,52296 3008,26076 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-14 7,03 7,02 425,65 425,65 2992,3195 2988,063 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-15 7,005 6,995 426,32 426,32 2986,3716 2982,1084 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-16 6,973 6,963 425,71 425,71 2968,47583 2964,21873 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-17 6,97 6,96 424,48 424,48 2958,6256 2954,3808 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-18 6,965 6,955 423,83 423,83 2951,97595 2947,73765 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-21 6,978 6,968 422,25 422,25 2946,4605 2942,238 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-23 6,895 6,885 421,81 421,81 2908,37995 2904,16185 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-24 6,858 6,848 422,24 422,24 2895,72192 2891,49952 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-25 6,885 6,875 421,87 421,87 2904,57495 2900,35625 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-02-28 6,828 6,818 422,03 422,03 2881,62084 2877,40054 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-01 6,87 6,86 420,43 420,43 2888,3541 2884,1498 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-02 6,888 6,878 420,28 420,28 2894,88864 2890,68584 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-03 6,903 6,893 420,16 420,16 2900,36448 2896,16288 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-04 6,9 6,89 419,95 419,95 2897,655 2893,4555 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-07 6,84 6,83 421,46 421,46 2882,7864 2878,5718 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-08 6,825 6,815 421,87 421,87 2879,26275 2875,04405 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-09 6,76 6,75 420,4 420,4 2841,904 2837,7 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-10 6,745 6,735 417,85 417,85 2818,39825 2814,21975 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-11 6,765 6,755 418,74 418,74 2832,7761 2828,5887 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-14 6,76 6,75 417,38 417,38 2821,4888 2817,315 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-15 6,815 6,805 417,71 417,71 2846,69365 2842,51655 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-16 6,81 6,8 417,25 417,25 2841,4725 2837,3 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-17 6,795 6,785 417,85 417,85 2839,29075 2835,11225 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-18 6,828 6,818 418,64 418,64 2858,47392 2854,28752 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-21 6,908 6,898 417,81 417,81 2886,23148 2882,05338 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-22 6,928 6,918 417,67 417,67 2893,61776 2889,44106 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-23 6,973 6,963 416,03 416,03 2900,97719 2896,81689 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-24 7,008 6,998 415,88 415,88 2914,48704 2910,32824 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-29 7,055 7,045 415,59 415,59 2931,98745 2927,83155 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-30 7,053 7,043 416,32 416,32 2936,30496 2932,14176 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-03-31 7,065 7,055 417,14 417,14 2947,0941 2942,9227 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-01 7,07 7,06 418,54 418,54 2959,0778 2954,8924 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-04 7,113 7,103 419,56 419,56 2984,33028 2980,13468 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-05 7,163 7,153 419,82 419,82 3007,17066 3002,97246 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-06 7,125 7,115 419,38 419,38 2988,0825 2983,8887 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-07 7,083 7,073 420 420 2974,86 2970,66 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-08 7,153 7,143 419,22 419,22 2998,68066 2994,48846 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-11 7,098 7,088 418,95 418,95 2973,7071 2969,5176 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-12 7,048 7,038 419,96 419,96 2959,87808 2955,67848 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-13 7,075 7,065 421,56 421,56 2982,537 2978,3214 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-14 7,12 7,11 421,49 421,49 3001,0088 2996,7939 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-15 7,17 7,16 421,86 421,86 3024,7362 3020,5176 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-18 7,08 7,07 423,61 423,61 2999,1588 2994,9227 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-19 7,068 7,058 424,43 424,43 2999,87124 2995,62694 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-20 7,043 7,033 425,47 425,47 2996,58521 2992,33051 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-21 7,025 7,015 425,16 425,16 2986,749 2982,4974 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-22 7,023 7,013 423,51 423,51 2974,31073 2970,07563 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-25 7,04 7,03 424,44 424,44 2988,0576 2983,8132 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-26 7,035 7,025 424,68 424,68 2987,6238 2983,377 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-27 7,085 7,075 424,33 424,33 3006,37805 3002,13475 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-28 7,085 7,075 424,98 424,98 3010,9833 3006,7335 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-04-29 7,08 7,07 426,32 426,32 3018,3456 3014,0824 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-02 7,15 7,14 425,72 425,72 3043,898 3039,6408 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-03 7,178 7,168 426,08 426,08 3058,40224 3054,14144 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-04 7,11 7,1 425,87 425,87 3027,9357 3023,677 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-06 7,085 7,075 426,57 426,57 3022,24845 3017,98275 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-09 7,168 7,158 424,37 424,37 3041,88416 3037,64046 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-10 7,178 7,168 424,19 424,19 3044,83582 3040,59392 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-11 7,15 7,14 425,34 425,34 3041,181 3036,9276 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-12 7,243 7,233 426,01 426,01 3085,59043 3081,33033 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-13 7,265 7,255 426,32 426,32 3097,2148 3092,9516 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-17 7,313 7,303 427,71 427,71 3127,84323 3123,56613 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-18 7,3 7,29 427,89 427,89 3123,597 3119,3181 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-19 7,26 7,25 428,94 428,94 3114,1044 3109,815 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-20 7,28 7,27 428 428 3115,84 3111,56 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-23 7,32 7,31 427,71 427,71 3130,8372 3126,5601 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-24 7,295 7,285 429,07 429,07 3130,06565 3125,77495 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-25 7,298 7,288 429,85 429,85 3137,0453 3132,7468 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-26 7,33 7,32 429,25 429,25 3146,4025 3142,11 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-27 7,338 7,328 428,92 428,92 3147,41496 3143,12576 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-30 7,338 7,328 428,95 428,95 3147,6351 3143,3456 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-05-31 7,403 7,393 428,95 428,95 3175,51685 3171,22735 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-01 7,428 7,418 430,9 430,9 3200,7252 3196,4162 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-02 7,473 7,463 433,29 433,29 3237,97617 3233,64327 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-03 7,438 7,428 433,61 433,61 3225,19118 3220,85508 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-07 7,448 7,438 432,33 432,33 3219,99384 3215,67054 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-08 7,435 7,425 433,42 433,42 3222,4777 3218,1435 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-09 7,523 7,513 432,73 432,73 3255,42779 3251,10049 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-10 7,525 7,515 432,05 432,05 3251,17625 3246,85575 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-13 7,643 7,633 430,37 430,37 3289,31791 3285,01421 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-14 7,663 7,653 429,59 429,59 3291,94817 3287,65227 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-15 7,693 7,683 428,73 428,73 3298,21989 3293,93259 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-16 7,678 7,668 428,73 428,73 3291,78894 3287,50164 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-17 7,643 7,633 429,81 429,81 3285,03783 3280,73973 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-20 7,543 7,533 429,59 429,59 3240,39737 3236,10147 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-21 7,648 7,638 429,29 429,29 3283,20992 3278,91702 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-22 7,608 7,598 430,37 430,37 3274,25496 3269,95126 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-27 7,73 7,72 433,61 433,61 3351,8053 3347,4692 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-28 7,76 7,75 434,2 434,2 3369,392 3365,05 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-29 7,833 7,823 432,69 432,69 3389,26077 3384,93387 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-06-30 7,823 7,813 432,36 432,36 3382,35228 3378,02868 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-01 7,858 7,848 433,29 433,29 3404,79282 3400,45992 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-04 7,945 7,935 431,11 431,11 3425,16895 3420,85785 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-06 7,895 7,885 429,76 429,76 3392,9552 3388,6576 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-07 7,878 7,868 430,51 430,51 3391,55778 3387,25268 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-08 7,913 7,903 431,44 431,44 3413,98472 3409,67032 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-11 7,89 7,88 429,55 429,55 3389,1495 3384,854 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-12 7,77 7,76 430,12 430,12 3342,0324 3337,7312 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-13 7,703 7,693 429,32 429,32 3307,05196 3302,75876 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-14 7,76 7,75 428,87 428,87 3328,0312 3323,7425 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-15 7,76 7,75 428,52 428,52 3325,3152 3321,03 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-18 7,78 7,77 428,68 428,68 3335,1304 3330,8436 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-19 7,878 7,868 427,74 427,74 3369,73572 3365,45832 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-20 7,818 7,808 428,34 428,34 3348,76212 3344,47872 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-21 7,775 7,765 428,8 428,8 3333,92 3329,632 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-22 7,758 7,748 426,74 426,74 3310,64892 3306,38152 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-25 7,838 7,828 427,81 427,81 3353,17478 3348,89668 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-26 7,818 7,808 427,41 427,41 3341,49138 3337,21728 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-27 7,905 7,895 427,51 427,51 3379,46655 3375,19145 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-28 7,848 7,838 427,06 427,06 3351,56688 3347,29628 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-07-29 7,748 7,738 428,51 428,51 3320,09548 3315,81038 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-01 7,72 7,71 426,79 426,79 3294,8188 3290,5509 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-02 7,7 7,69 426,11 426,11 3281,047 3276,7859 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-03 7,685 7,675 425,74 425,74 3271,8119 3267,5545 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-04 7,618 7,608 426,61 426,61 3249,91498 3245,64888 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-05 7,548 7,538 426,2 426,2 3216,9576 3212,6956 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-08 7,558 7,548 424,56 424,56 3208,82448 3204,57888 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-09 7,548 7,538 424,08 424,08 3200,95584 3196,71504 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-10 7,558 7,548 424,58 424,58 3208,97564 3204,72984 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-11 7,523 7,513 424,72 424,72 3195,16856 3190,92136 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-12 7,46 7,45 425,84 425,84 3176,7664 3172,508 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-16 7,523 7,513 427,24 427,24 3214,12652 3209,85412 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-17 7,605 7,595 428,38 428,38 3257,8299 3253,5461 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-18 7,61 7,6 427,39 427,39 3252,4379 3248,164 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-19 7,698 7,688 428,71 428,71 3300,20958 3295,92248 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-22 7,69 7,68 428,75 428,75 3297,0875 3292,8 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-23 7,663 7,653 428,84 428,84 3286,20092 3281,91252 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-24 7,673 7,663 429,46 429,46 3295,24658 3290,95198 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-25 7,588 7,578 429,6 429,6 3259,8048 3255,5088 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-26 7,578 7,568 430,05 430,05 3258,9189 3254,6184 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-29 7,573 7,563 429,37 429,37 3251,61901 3247,32531 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-30 7,633 7,623 429,79 429,79 3280,58707 3276,28917 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-08-31 7,668 7,658 431,57 431,57 3309,27876 3304,96306 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-01 7,568 7,558 433,65 433,65 3281,8632 3277,5267 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-02 7,435 7,425 434,15 434,15 3227,90525 3223,56375 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-05 7,41 7,4 433,7 433,7 3213,717 3209,38 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-07 7,43 7,42 432,63 432,63 3214,4409 3210,1146 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-08 7,498 7,488 431,3 431,3 3233,8874 3229,5744 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-09 7,523 7,513 431,34 431,34 3244,97082 3240,65742 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-12 7,555 7,545 431,58 431,58 3260,5869 3256,2711 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-13 7,57 7,56 430,58 430,58 3259,4906 3255,1848 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-14 7,61 7,6 431,32 431,32 3282,3452 3278,032 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-15 7,658 7,648 430,74 430,74 3298,60692 3294,29952 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-16 7,613 7,603 429,76 429,76 3271,76288 3267,46528 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-19 7,698 7,688 428,6 428,6 3299,3628 3295,0768 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-20 7,688 7,678 429,14 429,14 3299,22832 3294,93692 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-21 7,663 7,653 429,01 429,01 3287,50363 3283,21353 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-22 7,648 7,638 430,23 430,23 3290,39904 3286,09674 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-23 7,733 7,723 430,63 430,63 3330,06179 3325,75549 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-26 7,798 7,788 429,02 429,02 3345,49796 3341,20776 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-27 7,825 7,815 428,11 428,11 3349,96075 3345,67965 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-28 7,81 7,8 427,79 427,79 3341,0399 3336,762 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-29 7,785 7,775 428,65 428,65 3337,04025 3332,75375 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-09-30 7,785 7,775 427,99 427,99 3331,90215 3327,62225 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-03 7,783 7,773 427,04 427,04 3323,65232 3319,38192 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-04 7,82 7,81 425,9 425,9 3330,538 3326,279 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-05 7,795 7,785 426,18 426,18 3322,0731 3317,8113 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-06 7,713 7,703 426,64 426,64 3290,67432 3286,40792 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-07 7,683 7,673 426,48 426,48 3276,64584 3272,38104 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-10 7,698 7,688 426,74 426,74 3285,04452 3280,77712 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-12 7,805 7,795 426,27 426,27 3327,03735 3322,77465 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-13 7,83 7,82 425,08 425,08 3328,3764 3324,1256 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-14 7,833 7,823 424,39 424,39 3324,24687 3320,00297 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-17 7,835 7,825 424,17 424,17 3323,37195 3319,13025 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-18 7,893 7,883 424,09 424,09 3347,34237 3343,10147 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-19 7,96 7,95 424,27 424,27 3377,1892 3372,9465 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-20 7,93 7,92 424,7 424,7 3367,871 3363,624 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-21 7,883 7,873 424,66 424,66 3347,59478 3343,34818 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-24 7,995 7,985 426,2 426,2 3407,469 3403,207 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-25 7,99 7,98 425,09 425,09 3396,4691 3392,2182 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-26 7,868 7,858 423,78 423,78 3334,30104 3330,06324 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-27 7,868 7,858 422 422 3320,296 3316,076 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-28 7,825 7,815 422,67 422,67 3307,39275 3303,16605 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-10-31 7,905 7,895 422,55 422,55 3340,25775 3336,03225 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-02 7,98 7,97 422,79 422,79 3373,8642 3369,6363 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-03 8,01 8 422,13 422,13 3381,2613 3377,04 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-04 8,028 8,018 421,02 421,02 3379,94856 3375,73836 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-07 8,135 8,125 420,27 420,27 3418,89645 3414,69375 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-08 8,17 8,16 420,9 420,9 3438,753 3434,544 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-09 8,12 8,11 422,45 422,45 3430,294 3426,0695 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-10 8,173 8,163 420,99 420,99 3440,75127 3436,54137 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-11 8,235 8,225 422,63 422,63 3480,35805 3476,13175 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-15 8,185 8,175 421,55 421,55 3450,38675 3446,17125 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-16 8,21 8,2 422,94 422,94 3472,3374 3468,108 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-17 8,258 8,248 424,43 424,43 3504,94294 3500,69864 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-18 8,223 8,213 425,23 425,23 3496,66629 3492,41399 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-21 8,123 8,113 424,12 424,12 3445,12676 3440,88556 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-22 8,15 8,14 425,02 425,02 3463,913 3459,6628 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-23 8,048 8,038 425,74 425,74 3426,35552 3422,09812 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-24 8,053 8,043 424,65 424,65 3419,70645 3415,45995 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-28 8,118 8,108 425,74 425,74 3456,15732 3451,89992 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-29 8,015 8,005 426,5 426,5 3418,3975 3414,1325 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-11-30 8,088 8,078 424,82 424,82 3435,94416 3431,69596 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-01 8,083 8,073 424,5 424,5 3431,2335 3426,9885 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-02 8,103 8,093 423,88 423,88 3434,69964 3430,46084 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-05 8,045 8,035 423,99 423,99 3410,99955 3406,75965 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-06 7,993 7,983 423,22 423,22 3382,79746 3378,56526 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-07 8,015 8,005 424,88 424,88 3405,4132 3401,1644 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-08 7,988 7,978 424,39 424,39 3390,02732 3385,78342 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-12 7,953 7,943 424,21 424,21 3373,74213 3369,50003 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-13 7,905 7,895 424,05 424,05 3352,11525 3347,87475 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-14 7,848 7,838 424,41 424,41 3330,76968 3326,52558 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-15 7,858 7,848 426,33 426,33 3350,10114 3345,83784 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-16 7,903 7,893 425,96 425,96 3366,36188 3362,10228 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-19 7,865 7,855 426,58 426,58 3355,0517 3350,7859 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-20 7,848 7,838 426,7 426,7 3348,7416 3344,4746 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-21 7,948 7,938 426,19 426,19 3387,35812 3383,09622 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-22 7,98 7,97 425,84 425,84 3398,2032 3393,9448 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-23 7,955 7,945 427,11 427,11 3397,66005 3393,38895 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-27 8,01 8 428,64 428,64 3433,4064 3429,12 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-28 7,915 7,905 429,62 429,62 3400,4423 3396,1461 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-29 7,938 7,928 428,93 428,93 3404,84634 3400,55704 209262 Pictet Funds (Europe) S.A. Pictet Funds (LUX) - USD Bonds USD 2005-12-30 7,958 7,948 429,14 429,14 3415,09612 3410,80472 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-04-28 7,085 7,075 98,05 98,05 694,68425 693,70375 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-04-29 7,08 7,07 97,01 97,01 686,8308 685,8607 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-02 7,15 7,14 97,19 97,19 694,9085 693,9366 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-03 7,178 7,168 97,59 97,59 700,50102 699,52512 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-04 7,11 7,1 98,66 98,66 701,4726 700,486 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-06 7,085 7,075 101,11 101,11 716,36435 715,35325 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-09 7,168 7,158 101,09 101,09 724,61312 723,60222 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-10 7,178 7,168 101,16 101,16 726,12648 725,11488 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-11 7,15 7,14 100,16 100,16 716,144 715,1424 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-12 7,243 7,233 100,01 100,01 724,37243 723,37233 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-13 7,265 7,255 99,43 99,43 722,35895 721,36465 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-17 7,313 7,303 99,1 99,1 724,7183 723,7273 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-18 7,3 7,29 99,32 99,32 725,036 724,0428 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-19 7,26 7,25 101,14 101,14 734,2764 733,265 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-20 7,28 7,27 101,17 101,17 736,5176 735,5059 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-23 7,32 7,31 100,57 100,57 736,1724 735,1667 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-24 7,295 7,285 100,51 100,51 733,22045 732,21535 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-25 7,298 7,288 100,22 100,22 731,40556 730,40336 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-26 7,33 7,32 100,6 100,6 737,398 736,392 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-27 7,338 7,328 101,32 101,32 743,48616 742,47296 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-30 7,338 7,328 101,92 101,92 747,88896 746,86976 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-05-31 7,403 7,393 101,75 101,75 753,25525 752,23775 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-01 7,428 7,418 101,21 101,21 751,78788 750,77578 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-02 7,473 7,463 101,43 101,43 757,98639 756,97209 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-03 7,438 7,428 102,42 102,42 761,79996 760,77576 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-07 7,448 7,438 102,28 102,28 761,78144 760,75864 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-08 7,435 7,425 102,13 102,13 759,33655 758,31525 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-09 7,523 7,513 101,9 101,9 766,5937 765,5747 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-10 7,525 7,515 102,19 102,19 768,97975 767,95785 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-13 7,643 7,633 102,41 102,41 782,71963 781,69553 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-14 7,663 7,653 102,36 102,36 784,38468 783,36108 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-15 7,693 7,683 103,37 103,37 795,22541 794,19171 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-16 7,678 7,668 103,78 103,78 796,82284 795,78504 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-17 7,643 7,633 104,47 104,47 798,46421 797,41951 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-20 7,543 7,533 104,7 104,7 789,7521 788,7051 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-21 7,648 7,638 104,05 104,05 795,7744 794,7339 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-22 7,608 7,598 104,9 104,9 798,0792 797,0302 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-27 7,73 7,72 103,82 103,82 802,5286 801,4904 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-28 7,76 7,75 104,11 104,11 807,8936 806,8525 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-29 7,833 7,823 103,81 103,81 813,14373 812,10563 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-06-30 7,823 7,813 104,19 104,19 815,07837 814,03647 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-01 7,858 7,848 104,36 104,36 820,06088 819,01728 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-04 7,945 7,935 104,2 104,2 827,869 826,827 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-05 7,963 7,953 103,56 103,56 824,64828 823,61268 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-06 7,895 7,885 103,53 103,53 817,36935 816,33405 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-07 7,878 7,868 103,32 103,32 813,95496 812,92176 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-08 7,913 7,903 102,84 102,84 813,77292 812,74452 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-11 7,89 7,88 104,51 104,51 824,5839 823,5388 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-12 7,77 7,76 105,63 105,63 820,7451 819,6888 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-13 7,703 7,693 106,38 106,38 819,44514 818,38134 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-14 7,76 7,75 107,1 107,1 831,096 830,025 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-15 7,76 7,75 106,93 106,93 829,7768 828,7075 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-18 7,78 7,77 106,61 106,61 829,4258 828,3597 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-19 7,878 7,868 106,96 106,96 842,63088 841,56128 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-20 7,818 7,808 107,52 107,52 840,59136 839,51616 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-21 7,775 7,765 108,32 108,32 842,188 841,1048 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-22 7,758 7,748 109 109 845,622 844,532 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-25 7,838 7,828 109,13 109,13 855,36094 854,26964 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-26 7,818 7,808 107,98 107,98 844,18764 843,10784 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-27 7,905 7,895 108,29 108,29 856,03245 854,94955 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-28 7,848 7,838 109,31 109,31 857,86488 856,77178 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-07-29 7,748 7,738 110,07 110,07 852,82236 851,72166 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-01 7,72 7,71 110,6 110,6 853,832 852,726 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-02 7,7 7,69 111,7 111,7 860,09 858,973 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-03 7,685 7,675 112,83 112,83 867,09855 865,97025 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-04 7,618 7,608 112,73 112,73 858,77714 857,64984 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-05 7,548 7,538 112,13 112,13 846,35724 845,23594 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-08 7,558 7,548 111,52 111,52 842,86816 841,75296 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-09 7,548 7,538 111,83 111,83 844,09284 842,97454 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-10 7,558 7,548 112,96 112,96 853,75168 852,62208 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-11 7,523 7,513 113,94 113,94 857,17062 856,03122 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-12 7,46 7,45 113,5 113,5 846,71 845,575 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-16 7,523 7,513 112,35 112,35 845,20905 844,08555 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-17 7,605 7,595 111,61 111,61 848,79405 847,67795 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-18 7,61 7,6 110,92 110,92 844,1012 842,992 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-19 7,698 7,688 109,86 109,86 845,70228 844,60368 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-22 7,69 7,68 110,47 110,47 849,5143 848,4096 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-23 7,663 7,653 110,96 110,96 850,28648 849,17688 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-24 7,673 7,663 109,67 109,67 841,49791 840,40121 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-25 7,588 7,578 109,07 109,07 827,62316 826,53246 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-26 7,578 7,568 109,7 109,7 831,3066 830,2096 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-29 7,573 7,563 108,36 108,36 820,61028 819,52668 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-30 7,633 7,623 108,95 108,95 831,61535 830,52585 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-08-31 7,668 7,658 109,06 109,06 836,27208 835,18148 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-01 7,568 7,558 110,92 110,92 839,44256 838,33336 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-02 7,435 7,425 112,32 112,32 835,0992 833,976 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-05 7,41 7,4 113,02 113,02 837,4782 836,348 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-06 7,485 7,475 113,22 113,22 847,4517 846,3195 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-07 7,43 7,42 114,15 114,15 848,1345 846,993 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-08 7,498 7,488 114,24 114,24 856,57152 855,42912 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-09 7,523 7,513 114,49 114,49 861,30827 860,16337 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-12 7,555 7,545 115,71 115,71 874,18905 873,03195 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-13 7,57 7,56 115,74 115,74 876,1518 874,9944 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-14 7,61 7,6 115,39 115,39 878,1179 876,964 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-15 7,658 7,648 115,51 115,51 884,57558 883,42048 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-16 7,613 7,603 115,85 115,85 881,96605 880,80755 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-19 7,698 7,688 116,11 116,11 893,81478 892,65368 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-20 7,688 7,678 116,96 116,96 899,18848 898,01888 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-21 7,663 7,653 117,3 117,3 898,8699 897,6969 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-22 7,648 7,638 117,65 117,65 899,7872 898,6107 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-23 7,733 7,723 116,22 116,22 898,72926 897,56706 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-26 7,798 7,788 116,78 116,78 910,65044 909,48264 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-27 7,825 7,815 118,78 118,78 929,4535 928,2657 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-28 7,81 7,8 117,51 117,51 917,7531 916,578 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-29 7,785 7,775 118,42 118,42 921,8997 920,7155 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-09-30 7,785 7,775 119,01 119,01 926,49285 925,30275 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-03 7,783 7,773 118,96 118,96 925,86568 924,67608 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-04 7,82 7,81 119,96 119,96 938,0872 936,8876 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-05 7,795 7,785 119,62 119,62 932,4379 931,2417 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-06 7,713 7,703 117,1 117,1 903,1923 902,0213 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-07 7,683 7,673 115,28 115,28 885,69624 884,54344 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-10 7,698 7,688 116,34 116,34 895,58532 894,42192 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-11 7,77 7,76 116,56 116,56 905,6712 904,5056 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-12 7,805 7,795 116,1 116,1 906,1605 904,9995 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-13 7,83 7,82 114,27 114,27 894,7341 893,5914 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-14 7,833 7,823 113,19 113,19 886,61727 885,48537 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-17 7,835 7,825 112,45 112,45 881,04575 879,92125 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-18 7,893 7,883 113,32 113,32 894,43476 893,30156 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-19 7,96 7,95 111,32 111,32 886,1072 884,994 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-20 7,93 7,92 111,44 111,44 883,7192 882,6048 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-21 7,883 7,873 111,19 111,19 876,51077 875,39887 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-24 7,995 7,985 111,74 111,74 893,3613 892,2439 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-25 7,99 7,98 112,6 112,6 899,674 898,548 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-26 7,868 7,858 112,62 112,62 886,09416 884,96796 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-27 7,868 7,858 112,01 112,01 881,29468 880,17458 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-28 7,825 7,815 110,3 110,3 863,0975 861,9945 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-10-31 7,905 7,895 111,59 111,59 882,11895 881,00305 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-02 7,98 7,97 115,42 115,42 921,0516 919,8974 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-03 8,01 8 116,19 116,19 930,6819 929,52 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-04 8,028 8,018 116,52 116,52 935,42256 934,25736 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-07 8,135 8,125 115,75 115,75 941,62625 940,46875 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-08 8,17 8,16 116,05 116,05 948,1285 946,968 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-09 8,12 8,11 116,77 116,77 948,1724 947,0047 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-10 8,173 8,163 116,86 116,86 955,09678 953,92818 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-11 8,235 8,225 118,06 118,06 972,2241 971,0435 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-14 8,133 8,123 118,17 118,17 961,07661 959,89491 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-15 8,185 8,175 117,94 117,94 965,3389 964,1595 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-16 8,21 8,2 118,06 118,06 969,2726 968,092 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-17 8,258 8,248 118,45 118,45 978,1601 976,9756 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-18 8,223 8,213 119,88 119,88 985,77324 984,57444 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-21 8,123 8,113 119,84 119,84 973,46032 972,26192 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-22 8,15 8,14 119,49 119,49 973,8435 972,6486 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-23 8,048 8,038 120,53 120,53 970,02544 968,82014 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-24 8,053 8,043 121,68 121,68 979,88904 978,67224 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-25 8,078 8,068 122 122 985,516 984,296 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-28 8,118 8,108 122,34 122,34 993,15612 991,93272 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-29 8,015 8,005 121,74 121,74 975,7461 974,5287 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-11-30 8,088 8,078 122,29 122,29 989,08152 987,85862 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-01 8,083 8,073 122,57 122,57 990,73331 989,50761 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-02 8,103 8,093 123,79 123,79 1003,07037 1001,83247 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-05 8,045 8,035 124,73 124,73 1003,45285 1002,20555 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-06 7,993 7,983 125,28 125,28 1001,36304 1000,11024 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-07 8,015 8,005 126,8 126,8 1016,302 1015,034 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-08 7,988 7,978 126,23 126,23 1008,32524 1007,06294 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-12 7,953 7,943 125,98 125,98 1001,91894 1000,65914 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-13 7,905 7,895 126,56 126,56 1000,4568 999,1912 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-14 7,848 7,838 126,75 126,75 994,734 993,4665 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-15 7,858 7,848 126,87 126,87 996,94446 995,67576 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-16 7,903 7,893 126,52 126,52 999,88756 998,62236 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-19 7,865 7,855 127,18 127,18 1000,2707 998,9989 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-20 7,848 7,838 126,77 126,77 994,89096 993,62326 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-21 7,948 7,938 127,55 127,55 1013,7674 1012,4919 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-22 7,98 7,97 128,18 128,18 1022,8764 1021,5946 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-23 7,955 7,945 129,15 129,15 1027,38825 1026,09675 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-27 8,01 8 129,3 129,3 1035,693 1034,4 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-28 7,915 7,905 129,02 129,02 1021,1933 1019,9031 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-29 7,938 7,928 129,07 129,07 1024,55766 1023,26696 739987 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Emerging Markets Large Cap USD 2005-12-30 7,958 7,948 129,73 129,73 1032,39134 1031,09404 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-04 9,0345 9,0295 129,32 129,32 1168,34154 1167,69494 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-05 9,0615 9,0565 129,27 129,27 1171,380105 1170,733755 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-07 9,0615 9,0565 129,53 129,53 1173,736095 1173,088445 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-10 9,08619 9,08119 129,64 129,64 1177,9336716 1177,2854716 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-11 9,08619 9,08119 129,75 129,75 1178,9331525 1178,2844025 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-12 9,0455 9,0405 129,75 129,75 1173,653625 1173,004875 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-13 9,0505 9,0455 129,77 129,77 1174,483385 1173,834535 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-14 9,0455 9,0405 130,06 130,06 1176,45773 1175,80743 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-17 9,0685 9,0635 130,03 130,03 1179,177055 1178,526905 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-18 9,0585 9,0535 130,15 130,15 1178,963775 1178,313025 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-19 9,0225 9,0175 130,12 130,12 1174,0077 1173,3571 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-20 9,0315 9,0265 130,2 130,2 1175,9013 1175,2503 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-21 9,0505 9,0455 129,9 129,9 1175,65995 1175,01045 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-24 9,0655 9,0605 130,01 130,01 1178,605655 1177,955605 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-25 9,0715 9,0665 130,17 130,17 1180,837155 1180,186305 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-26 9,0885 9,0835 130,27 130,27 1183,958895 1183,307545 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-27 9,0675 9,0625 130,17 130,17 1180,316475 1179,665625 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-28 9,0955 9,0905 130,05 130,05 1182,869775 1182,219525 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-01-31 9,1075 9,1025 130,31 130,31 1186,798325 1186,146775 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-01 9,1035 9,0985 130,41 130,41 1187,187435 1186,535385 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-02 9,0905 9,0855 130,47 130,47 1186,037535 1185,385185 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-03 9,0695 9,0645 130,43 130,43 1182,934885 1182,282735 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-04 9,0895 9,0845 130,37 130,37 1184,998115 1184,346265 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-07 9,0755 9,0705 130,66 130,66 1185,80483 1185,15153 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-08 9,0895 9,0845 130,71 130,71 1188,088545 1187,434995 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-09 9,0695 9,0645 130,75 130,75 1185,837125 1185,183375 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-10 9,0805 9,0755 130,92 130,92 1188,81906 1188,16446 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-11 9,0935 9,0885 130,98 130,98 1191,06663 1190,41173 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-14 9,1105 9,1055 130,96 130,96 1193,11108 1192,45628 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-15 9,0765 9,0715 130,84 130,84 1187,56926 1186,91506 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-16 9,0705 9,0655 130,71 130,71 1185,605055 1184,951505 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-17 9,0925 9,0875 130,58 130,58 1187,29865 1186,64575 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-18 9,0945 9,0895 130,48 130,48 1186,65036 1185,99796 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-21 9,1185 9,1135 129,99 129,99 1185,313815 1184,663865 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-22 9,0975 9,0925 129,91 129,91 1181,856225 1181,206675 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-23 9,1045 9,0995 129,9 129,9 1182,67455 1182,02505 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-24 9,0715 9,0665 129,96 129,96 1178,93214 1178,28234 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-25 9,0845 9,0795 129,79 129,79 1179,077255 1178,428305 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-02-28 9,0505 9,0455 129,86 129,86 1175,29793 1174,64863 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-01 9,0565 9,0515 130,02 130,02 1177,52613 1176,87603 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-02 9,0645 9,0595 129,82 129,82 1176,75339 1176,10429 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-03 9,0675 9,0625 129,56 129,56 1174,7853 1174,1375 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-04 9,0415 9,0365 129,76 129,76 1173,22504 1172,57624 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-07 9,0425 9,0375 130,13 130,13 1176,700525 1176,049875 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-08 9,0345 9,0295 130,29 130,29 1177,105005 1176,453555 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-09 9,0365 9,0315 130,16 130,16 1176,19084 1175,54004 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-10 9,0655 9,0605 129,85 129,85 1177,155175 1176,505925 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-11 9,0795 9,0745 129,69 129,69 1177,520355 1176,871905 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-14 9,0695 9,0645 129,79 129,79 1177,130405 1176,481455 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-15 9,1035 9,0985 129,74 129,74 1181,08809 1180,43939 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-16 9,0975 9,0925 129,98 129,98 1182,49305 1181,84315 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-17 9,1045 9,0995 129,8 129,8 1181,7641 1181,1151 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-18 9,1035 9,0985 129,7 129,7 1180,72395 1180,07545 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-21 9,1265 9,1215 129,58 129,58 1182,61187 1181,96397 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-22 9,1265 9,1215 129,29 129,29 1179,965185 1179,318735 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-23 9,1165 9,1115 129,32 129,32 1178,94578 1178,29918 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-24 9,1135 9,1085 129,14 129,14 1176,91739 1176,27169 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-29 9,1315 9,1265 129,42 129,42 1181,79873 1181,15163 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-30 9,1425 9,1375 129,44 129,44 1183,4052 1182,758 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-03-31 9,1405 9,1355 129,59 129,59 1184,517395 1183,869445 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-01 9,1645 9,1595 129,87 129,87 1190,193615 1189,544265 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-04 9,1695 9,1645 129,96 129,96 1191,66822 1191,01842 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-05 9,1745 9,1695 129,96 129,96 1192,31802 1191,66822 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-06 9,1705 9,1655 129,95 129,95 1191,706475 1191,056725 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-07 9,1505 9,1455 130,1 130,1 1190,48005 1189,82955 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-08 9,1625 9,1575 130,32 130,32 1194,057 1193,4054 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-11 9,1705 9,1655 130,2 130,2 1193,9991 1193,3481 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-12 9,1525 9,1475 130,21 130,21 1191,747025 1191,095975 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-13 9,1495 9,1445 130,28 130,28 1191,99686 1191,34546 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-14 9,1685 9,1635 130,31 130,31 1194,747235 1194,095685 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-15 9,1925 9,1875 130,09 130,09 1195,852325 1195,201875 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-18 9,1805 9,1755 129,99 129,99 1193,373195 1192,723245 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-19 9,2035 9,1985 130,04 130,04 1196,82314 1196,17294 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-20 9,1915 9,1865 130,24 130,24 1197,10096 1196,44976 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-21 9,1855 9,1805 130,4 130,4 1197,7892 1197,1372 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-22 9,1625 9,1575 130,53 130,53 1195,981125 1195,328475 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-25 9,1685 9,1635 130,6 130,6 1197,4061 1196,7531 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-26 9,1375 9,1325 130,71 130,71 1194,362625 1193,709075 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-27 9,1465 9,1415 130,63 130,63 1194,807295 1194,154145 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-28 9,1505 9,1455 130,77 130,77 1196,610885 1195,957035 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-04-29 9,1705 9,1655 130,86 130,86 1200,05163 1199,39733 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-02 9,1935 9,1885 130,89 130,89 1203,337215 1202,682765 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-03 9,2245 9,2195 130,88 130,88 1207,30256 1206,64816 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-04 9,1915 9,1865 131,04 131,04 1204,45416 1203,79896 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-06 9,1715 9,1665 131,03 131,03 1201,741645 1201,086495 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-09 9,1815 9,1765 130,51 130,51 1198,277565 1197,625015 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-10 9,1985 9,1935 130,68 130,68 1202,05998 1201,40658 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-11 9,2105 9,2055 130,89 130,89 1205,562345 1204,907895 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-12 9,2315 9,2265 130,95 130,95 1208,864925 1208,210175 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-13 9,2045 9,1995 130,85 130,85 1204,408825 1203,754575 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-17 9,2325 9,2275 130,74 130,74 1207,05705 1206,40335 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-18 9,2095 9,2045 130,55 130,55 1202,300225 1201,647475 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-19 9,1905 9,1855 130,75 130,75 1201,657875 1201,004125 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-20 9,1955 9,1905 130,83 130,83 1203,047265 1202,393115 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-23 9,1805 9,1755 130,77 130,77 1200,533985 1199,880135 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-24 9,1815 9,1765 131,08 131,08 1203,51102 1202,85562 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-25 9,1785 9,1735 131,31 131,31 1205,228835 1204,572285 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-26 9,1945 9,1895 131,48 131,48 1208,89286 1208,23546 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-27 9,1955 9,1905 131,44 131,44 1208,65652 1207,99932 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-30 9,1905 9,1855 131,47 131,47 1208,275035 1207,617685 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-05-31 9,1665 9,1615 131,49 131,49 1205,303085 1204,645635 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-01 9,1455 9,1405 131,79 131,79 1205,285445 1204,626495 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-02 9,1565 9,1515 132,09 132,09 1209,482085 1208,821635 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-03 9,1315 9,1265 132,2 132,2 1207,1843 1206,5233 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-07 9,1455 9,1405 132,23 132,23 1209,309465 1208,648315 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-08 9,1455 9,1405 132,48 132,48 1211,59584 1210,93344 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-09 9,1965 9,1915 132,74 132,74 1220,74341 1220,07971 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-10 9,1975 9,1925 132,69 132,69 1220,416275 1219,752825 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-13 9,2365 9,2315 132,59 132,59 1224,667535 1224,004585 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-14 9,2985 9,2935 132,51 132,51 1232,144235 1231,481685 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-15 9,2695 9,2645 132,42 132,42 1227,46719 1226,80509 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-16 9,2695 9,2645 131,98 131,98 1223,38861 1222,72871 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-17 9,2695 9,2645 131,71 131,71 1220,885845 1220,227295 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-20 9,2255 9,2205 131,92 131,92 1217,02796 1216,36836 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-21 9,2725 9,2675 132,02 132,02 1224,15545 1223,49535 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-22 9,2615 9,2565 132,52 132,52 1227,33398 1226,67138 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-27 9,3855 9,3805 132,83 132,83 1246,675965 1246,011815 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-28 9,3995 9,3945 132,96 132,96 1249,75752 1249,09272 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-29 9,4215 9,4165 132,76 132,76 1250,79834 1250,13454 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-06-30 9,4415 9,4365 132,79 132,79 1253,736785 1253,072835 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-01 9,4595 9,4545 132,93 132,93 1257,451335 1256,786685 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-04 9,4795 9,4745 132,87 132,87 1259,541165 1258,876815 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-05 9,4575 9,4525 132,84 132,84 1256,3343 1255,6701 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-06 9,4195 9,4145 132,64 132,64 1249,40248 1248,73928 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-07 9,3965 9,3915 132,62 132,62 1246,16383 1245,50073 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-08 9,4175 9,4125 132,83 132,83 1250,926525 1250,262375 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-11 9,4665 9,4615 132,84 132,84 1257,52986 1256,86566 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-12 9,4645 9,4595 132,65 132,65 1255,465925 1254,802675 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-13 9,3915 9,3865 132,62 132,62 1245,50073 1244,83763 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-14 9,3675 9,3625 132,48 132,48 1241,0064 1240,344 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-15 9,4055 9,4005 132,35 132,35 1244,817925 1244,156175 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-18 9,3895 9,3845 132,33 132,33 1242,512535 1241,850885 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-19 9,4425 9,4375 132,5 132,5 1251,13125 1250,46875 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-20 9,4265 9,4215 132,37 132,37 1247,785805 1247,123955 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-21 9,4625 9,4575 132,27 132,27 1251,604875 1250,943525 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-22 9,4495 9,4445 132,31 132,31 1250,263345 1249,601795 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-25 9,4275 9,4225 132,62 132,62 1250,27505 1249,61195 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-26 9,4155 9,4105 132,72 132,72 1249,62516 1248,96156 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-27 9,4725 9,4675 132,54 132,54 1255,48515 1254,82245 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-28 9,4515 9,4465 132,63 132,63 1253,552445 1252,889295 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-07-29 9,3885 9,3835 132,55 132,55 1244,445675 1243,782925 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-01 9,3985 9,3935 132,46 132,46 1244,92531 1244,26301 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-02 9,3995 9,3945 132,21 132,21 1242,707895 1242,046845 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-03 9,3755 9,3705 132,04 132,04 1237,94102 1237,28082 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-04 9,3735 9,3685 132,08 132,08 1238,05188 1237,39148 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-05 9,3355 9,3305 132,08 132,08 1233,03284 1232,37244 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-08 9,3335 9,3285 131,79 131,79 1230,061965 1229,403015 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-09 9,3455 9,3405 131,86 131,86 1232,29763 1231,63833 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-10 9,3535 9,3485 131,82 131,82 1232,97837 1232,31927 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-11 9,3365 9,3315 131,98 131,98 1232,23127 1231,57137 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-12 9,3025 9,2975 132,04 132,04 1228,3021 1227,6419 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-16 9,2995 9,2945 132,55 132,55 1232,648725 1231,985975 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-17 9,3405 9,3355 132,79 132,79 1240,324995 1239,661045 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-18 9,3365 9,3315 132,81 132,81 1239,980565 1239,316515 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-19 9,3395 9,3345 133,06 133,06 1242,71387 1242,04857 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-22 9,3655 9,3605 133,07 133,07 1246,267085 1245,601735 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-23 9,3715 9,3665 133,07 133,07 1247,065505 1246,400155 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-24 9,3365 9,3315 133,82 133,82 1249,41043 1248,74133 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-25 9,3335 9,3285 133,15 133,15 1242,755525 1242,089775 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-26 9,3415 9,3365 133,29 133,29 1245,128535 1244,462085 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-29 9,3295 9,3245 133,26 133,26 1243,24917 1242,58287 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-30 9,3285 9,3235 133,28 133,28 1243,30248 1242,63608 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-08-31 9,3585 9,3535 133,23 133,23 1246,832955 1246,166805 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-01 9,3365 9,3315 133,5 133,5 1246,42275 1245,75525 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-02 9,3025 9,2975 133,81 133,81 1244,767525 1244,098475 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-05 9,2845 9,2795 133,84 133,84 1242,63748 1241,96828 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-06 9,3225 9,3175 133,91 133,91 1248,375975 1247,706425 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-07 9,3075 9,3025 133,74 133,74 1244,78505 1244,11635 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-08 9,3255 9,3205 133,66 133,66 1246,44633 1245,77803 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-09 9,3445 9,3395 133,81 133,81 1250,387545 1249,718495 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-12 9,3015 9,2965 133,9 133,9 1245,47085 1244,80135 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-13 9,3015 9,2965 133,54 133,54 1242,12231 1241,45461 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-14 9,3365 9,3315 133,7 133,7 1248,29005 1247,62155 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-15 9,3425 9,3375 133,73 133,73 1249,372525 1248,703875 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-16 9,3465 9,3415 133,6 133,6 1248,6924 1248,0244 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-19 9,3355 9,3305 133,39 133,39 1245,262345 1244,595395 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-20 9,3395 9,3345 133,64 133,64 1248,13078 1247,46258 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-21 9,3405 9,3355 133,72 133,72 1249,01166 1248,34306 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-22 9,3405 9,3355 134,04 134,04 1252,00062 1251,33042 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-23 9,3695 9,3645 134,06 134,06 1256,07517 1255,40487 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-26 9,3815 9,3765 133,78 133,78 1255,05707 1254,38817 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-27 9,3885 9,3835 133,44 133,44 1252,80144 1252,13424 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-28 9,3935 9,3885 133,39 133,39 1252,998965 1252,332015 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-29 9,3845 9,3795 133,35 133,35 1251,423075 1250,756325 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-09-30 9,3435 9,3385 133,23 133,23 1244,834505 1244,168355 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-03 9,3025 9,2975 133,28 133,28 1239,8372 1239,1708 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-04 9,3185 9,3135 133,02 133,02 1239,54687 1238,88177 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-05 9,3105 9,3055 133,11 133,11 1239,320655 1238,655105 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-06 9,3015 9,2965 133,14 133,14 1238,40171 1237,73601 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-07 9,3385 9,3335 133,07 133,07 1242,674195 1242,008845 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-10 9,3465 9,3415 132,99 132,99 1242,991035 1242,326085 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-11 9,3395 9,3345 133,13 133,13 1243,367635 1242,701985 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-12 9,3375 9,3325 132,96 132,96 1241,514 1240,8492 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-13 9,3815 9,3765 132,78 132,78 1245,67557 1245,01167 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-14 9,4135 9,4085 132,43 132,43 1246,629805 1245,967655 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-17 9,4575 9,4525 132,47 132,47 1252,835025 1252,172675 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-18 9,4625 9,4575 132,43 132,43 1253,118875 1252,456725 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-19 9,4605 9,4555 132,53 132,53 1253,800065 1253,137415 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-20 9,4935 9,4885 132,73 132,73 1260,072255 1259,408605 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-21 9,4915 9,4865 132,54 132,54 1258,00341 1257,34071 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-24 9,5455 9,5405 132,88 132,88 1268,40604 1267,74164 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-25 9,5465 9,5415 132,97 132,97 1269,398105 1268,733255 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-26 9,4975 9,4925 132,49 132,49 1258,323775 1257,661325 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-27 9,5355 9,5305 132,05 132,05 1259,162775 1258,502525 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-28 9,5135 9,5085 131,84 131,84 1254,25984 1253,60064 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-10-31 9,5495 9,5445 131,77 131,77 1258,337615 1257,678765 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-02 9,5855 9,5805 131,68 131,68 1262,21864 1261,56024 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-03 9,6515 9,6465 131,46 131,46 1268,78619 1268,12889 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-04 9,5875 9,5825 131,41 131,41 1259,893375 1259,236325 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-07 9,6075 9,6025 131,24 131,24 1260,8883 1260,2321 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-08 9,5685 9,5635 131,23 131,23 1255,674255 1255,018105 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-09 9,5575 9,5525 131,44 131,44 1256,2378 1255,5806 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-10 9,6105 9,6055 131,03 131,03 1259,263815 1258,608665 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-11 9,6365 9,6315 131,12 131,12 1263,53788 1262,88228 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-14 9,5505 9,5455 131,19 131,19 1252,930095 1252,274145 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-15 9,5805 9,5755 131,23 131,23 1257,249015 1256,592865 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-16 9,6235 9,6185 131,25 131,25 1263,084375 1262,428125 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-17 9,6355 9,6305 131,73 131,73 1269,284415 1268,625765 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-18 9,6085 9,6035 131,52 131,52 1263,70992 1263,05232 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-21 9,5915 9,5865 130,96 130,96 1256,10284 1255,44804 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-22 9,5585 9,5535 131,33 131,33 1255,317805 1254,661155 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-23 9,5155 9,5105 131,24 131,24 1248,81422 1248,15802 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-24 9,5125 9,5075 131,35 131,35 1249,466875 1248,810125 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-25 9,4965 9,4915 131,83 131,83 1251,923595 1251,264445 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-28 9,4835 9,4785 131,75 131,75 1249,451125 1248,792375 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-29 9,4785 9,4735 131,75 131,75 1248,792375 1248,133625 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-11-30 9,5295 9,5245 131,53 131,53 1253,415135 1252,757485 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-01 9,5165 9,5115 131,56 131,56 1251,99074 1251,33294 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-02 9,4905 9,4855 131,79 131,79 1250,752995 1250,094045 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-05 9,4065 9,4015 131,9 131,9 1240,71735 1240,05785 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-06 9,4185 9,4135 131,84 131,84 1241,73504 1241,07584 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-07 9,4255 9,4205 132 132 1244,166 1243,506 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-08 9,3965 9,3915 131,82 131,82 1238,64663 1237,98753 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-12 9,4315 9,4265 131,54 131,54 1240,61951 1239,96181 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-13 9,4295 9,4245 131,67 131,67 1241,582265 1240,923915 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-14 9,4365 9,4315 131,71 131,71 1242,881415 1242,222865 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-15 9,4345 9,4295 131,8 131,8 1243,4671 1242,8081 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-16 9,4765 9,4715 131,74 131,74 1248,43411 1247,77541 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-19 9,4535 9,4485 131,88 131,88 1246,72758 1246,06818 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-20 9,4015 9,3965 131,93 131,93 1240,339895 1239,680245 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-21 9,4485 9,4435 131,85 131,85 1245,784725 1245,125475 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-22 9,4365 9,4315 131,63 131,63 1242,126495 1241,468345 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-23 9,4425 9,4375 131,64 131,64 1243,0107 1242,3525 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-27 9,4915 9,4865 131,79 131,79 1250,884785 1250,225835 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-28 9,4345 9,4295 131,84 131,84 1243,84448 1243,18528 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-29 9,4115 9,4065 132,04 132,04 1242,69446 1242,03426 352583 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Corporate Bonds EUR 2005-12-30 9,4325 9,4275 131,91 131,91 1244,241075 1243,581525 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-04 9,0345 9,0295 103,57 103,57 935,703165 935,185315 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-05 9,0615 9,0565 103,53 103,53 938,137095 937,619445 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-07 9,0615 9,0565 103,62 103,62 938,95263 938,43453 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-10 9,08619 9,08119 103,63 103,63 941,6018697 941,0837197 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-11 9,08619 9,08119 103,69 103,69 942,1470411 941,6285911 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-12 9,0455 9,0405 103,68 103,68 937,83744 937,31904 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-13 9,0505 9,0455 103,68 103,68 938,35584 937,83744 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-14 9,0455 9,0405 103,78 103,78 938,74199 938,22309 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-17 9,0685 9,0635 103,77 103,77 941,038245 940,519395 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-18 9,0585 9,0535 103,79 103,79 940,181715 939,662765 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-19 9,0225 9,0175 103,79 103,79 936,445275 935,926325 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-20 9,0315 9,0265 103,78 103,78 937,28907 936,77017 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-21 9,0505 9,0455 103,73 103,73 938,808365 938,289715 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-24 9,0655 9,0605 103,77 103,77 940,726935 940,208085 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-25 9,0715 9,0665 103,84 103,84 941,98456 941,46536 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-26 9,0885 9,0835 103,83 103,83 943,658955 943,139805 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-27 9,0675 9,0625 103,79 103,79 941,115825 940,596875 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-28 9,0955 9,0905 103,75 103,75 943,658125 943,139375 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-01-31 9,1075 9,1025 103,83 103,83 945,631725 945,112575 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-01 9,1035 9,0985 103,85 103,85 945,398475 944,879225 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-02 9,0905 9,0855 103,85 103,85 944,048425 943,529175 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-03 9,0695 9,0645 103,82 103,82 941,59549 941,07639 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-04 9,0895 9,0845 103,78 103,78 943,30831 942,78941 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-07 9,0755 9,0705 103,84 103,84 942,39992 941,88072 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-08 9,0895 9,0845 103,85 103,85 943,944575 943,425325 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-09 9,0695 9,0645 103,83 103,83 941,686185 941,167035 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-10 9,0805 9,0755 103,87 103,87 943,191535 942,672185 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-11 9,0935 9,0885 103,92 103,92 944,99652 944,47692 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-14 9,1105 9,1055 103,93 103,93 946,854265 946,334615 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-15 9,0765 9,0715 103,92 103,92 943,22988 942,71028 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-16 9,0705 9,0655 103,88 103,88 942,24354 941,72414 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-17 9,0925 9,0875 103,86 103,86 944,34705 943,82775 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-18 9,0945 9,0895 103,85 103,85 944,463825 943,944575 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-21 9,1185 9,1135 103,77 103,77 946,226745 945,707895 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-22 9,0975 9,0925 103,76 103,76 943,9566 943,4378 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-23 9,1045 9,0995 103,79 103,79 944,956055 944,437105 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-24 9,0715 9,0665 103,83 103,83 941,893845 941,374695 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-25 9,0845 9,0795 103,77 103,77 942,698565 942,179715 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-02-28 9,0505 9,0455 103,78 103,78 939,26089 938,74199 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-01 9,0565 9,0515 103,85 103,85 940,517525 939,998275 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-02 9,0645 9,0595 103,84 103,84 941,25768 940,73848 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-03 9,0675 9,0625 103,81 103,81 941,297175 940,778125 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-04 9,0415 9,0365 103,86 103,86 939,05019 938,53089 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-07 9,0425 9,0375 103,95 103,95 939,967875 939,448125 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-08 9,0345 9,0295 104,02 104,02 939,76869 939,24859 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-09 9,0365 9,0315 104,02 104,02 939,97673 939,45663 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-10 9,0655 9,0605 103,96 103,96 942,44938 941,92958 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-11 9,0795 9,0745 103,94 103,94 943,72323 943,20353 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-14 9,0695 9,0645 103,97 103,97 942,955915 942,436065 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-15 9,1035 9,0985 103,98 103,98 946,58193 946,06203 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-16 9,0975 9,0925 104,03 104,03 946,412925 945,892775 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-17 9,1045 9,0995 103,97 103,97 946,594865 946,075015 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-18 9,1035 9,0985 103,95 103,95 946,308825 945,789075 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-21 9,1265 9,1215 103,93 103,93 948,517145 947,997495 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-22 9,1265 9,1215 103,88 103,88 948,06082 947,54142 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-23 9,1165 9,1115 103,89 103,89 947,113185 946,593735 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-24 9,1135 9,1085 103,83 103,83 946,254705 945,735555 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-29 9,1315 9,1265 103,9 103,9 948,76285 948,24335 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-30 9,1425 9,1375 103,92 103,92 950,0886 949,569 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-03-31 9,1405 9,1355 103,96 103,96 950,24638 949,72658 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-01 9,1645 9,1595 104,06 104,06 953,65787 953,13757 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-04 9,1695 9,1645 104,14 104,14 954,91173 954,39103 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-05 9,1745 9,1695 104,17 104,17 955,707665 955,186815 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-06 9,1705 9,1655 104,16 104,16 955,19928 954,67848 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-07 9,1505 9,1455 104,19 104,19 953,390595 952,869645 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-08 9,1625 9,1575 104,24 104,24 955,099 954,5778 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-11 9,1705 9,1655 104,24 104,24 955,93292 955,41172 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-12 9,1525 9,1475 104,3 104,3 954,60575 954,08425 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-13 9,1495 9,1445 104,31 104,31 954,384345 953,862795 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-14 9,1685 9,1635 104,33 104,33 956,549605 956,027955 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-15 9,1925 9,1875 104,33 104,33 959,053525 958,531875 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-18 9,1805 9,1755 104,4 104,4 958,4442 957,9222 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-19 9,2035 9,1985 104,46 104,46 961,39761 960,87531 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-20 9,1915 9,1865 104,5 104,5 960,51175 959,98925 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-21 9,1855 9,1805 104,48 104,48 959,70104 959,17864 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-22 9,1625 9,1575 104,47 104,47 957,206375 956,684025 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-25 9,1685 9,1635 104,49 104,49 958,016565 957,494115 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-26 9,1375 9,1325 104,53 104,53 955,142875 954,620225 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-27 9,1465 9,1415 104,55 104,55 956,266575 955,743825 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-28 9,1505 9,1455 104,58 104,58 956,95929 956,43639 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-04-29 9,1705 9,1655 104,62 104,62 959,41771 958,89461 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-02 9,1935 9,1885 104,64 104,64 962,00784 961,48464 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-03 9,2245 9,2195 104,67 104,67 965,528415 965,005065 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-04 9,1915 9,1865 104,73 104,73 962,625795 962,102145 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-06 9,1715 9,1665 104,72 104,72 960,43948 959,91588 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-09 9,1815 9,1765 104,65 104,65 960,843975 960,320725 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-10 9,1985 9,1935 104,7 104,7 963,08295 962,55945 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-11 9,2105 9,2055 104,77 104,77 964,984085 964,460235 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-12 9,2315 9,2265 104,77 104,77 967,184255 966,660405 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-13 9,2045 9,1995 104,75 104,75 964,171375 963,647625 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-17 9,2325 9,2275 104,76 104,76 967,1967 966,6729 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-18 9,2095 9,2045 104,78 104,78 964,97141 964,44751 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-19 9,1905 9,1855 104,78 104,78 962,98059 962,45669 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-20 9,1955 9,1905 104,75 104,75 963,228625 962,704875 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-23 9,1805 9,1755 104,69 104,69 961,106545 960,583095 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-24 9,1815 9,1765 104,75 104,75 961,762125 961,238375 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-25 9,1785 9,1735 104,83 104,83 962,182155 961,658005 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-26 9,1945 9,1895 104,88 104,88 964,31916 963,79476 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-27 9,1955 9,1905 104,87 104,87 964,332085 963,807735 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-30 9,1905 9,1855 104,88 104,88 963,89964 963,37524 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-05-31 9,1665 9,1615 104,91 104,91 961,657515 961,132965 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-01 9,1455 9,1405 104,98 104,98 960,09459 959,56969 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-02 9,1565 9,1515 105,08 105,08 962,16502 961,63962 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-03 9,1315 9,1265 105,05 105,05 959,264075 958,738825 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-07 9,1455 9,1405 105,1 105,1 961,19205 960,66655 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-08 9,1455 9,1405 105,17 105,17 961,832235 961,306385 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-09 9,1965 9,1915 105,22 105,22 967,65573 967,12963 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-10 9,1975 9,1925 105,2 105,2 967,577 967,051 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-13 9,2365 9,2315 105,14 105,14 971,12561 970,59991 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-14 9,2985 9,2935 105,18 105,18 978,01623 977,49033 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-15 9,2695 9,2645 105,15 105,15 974,687925 974,162175 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-16 9,2695 9,2645 105,03 105,03 973,575585 973,050435 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-17 9,2695 9,2645 104,99 104,99 973,204805 972,679855 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-20 9,2255 9,2205 105,03 105,03 968,954265 968,429115 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-21 9,2725 9,2675 105,12 105,12 974,7252 974,1996 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-22 9,2615 9,2565 105,25 105,25 974,772875 974,246625 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-27 9,3855 9,3805 105,3 105,3 988,29315 987,76665 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-28 9,3995 9,3945 105,37 105,37 990,425315 989,898465 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-29 9,4215 9,4165 105,32 105,32 992,27238 991,74578 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-06-30 9,4415 9,4365 105,31 105,31 994,284365 993,757815 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-01 9,4595 9,4545 105,34 105,34 996,46373 995,93703 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-04 9,4795 9,4745 105,29 105,29 998,096555 997,570105 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-05 9,4575 9,4525 105,24 105,24 995,3073 994,7811 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-06 9,4195 9,4145 105,16 105,16 990,55462 990,02882 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-07 9,3965 9,3915 105,13 105,13 987,854045 987,328395 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-08 9,4175 9,4125 105,23 105,23 991,003525 990,477375 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-11 9,4665 9,4615 105,19 105,19 995,781135 995,255185 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-12 9,4645 9,4595 105,15 105,15 995,192175 994,666425 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-13 9,3915 9,3865 105,13 105,13 987,328395 986,802745 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-14 9,3675 9,3625 105,09 105,09 984,430575 983,905125 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-15 9,4055 9,4005 105,08 105,08 988,32994 987,80454 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-18 9,3895 9,3845 105,07 105,07 986,554765 986,029415 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-19 9,4425 9,4375 105,12 105,12 992,5956 992,07 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-20 9,4265 9,4215 105,1 105,1 990,72515 990,19965 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-21 9,4625 9,4575 105,08 105,08 994,3195 993,7941 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-22 9,4495 9,4445 105,11 105,11 993,236945 992,711395 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-25 9,4275 9,4225 105,18 105,18 991,58445 991,05855 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-26 9,4155 9,4105 105,21 105,21 990,604755 990,078705 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-27 9,4725 9,4675 105,16 105,16 996,1281 995,6023 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-28 9,4515 9,4465 105,17 105,17 994,014255 993,488405 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-07-29 9,3885 9,3835 105,14 105,14 987,10689 986,58119 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-01 9,3985 9,3935 105,11 105,11 987,876335 987,350785 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-02 9,3995 9,3945 105,07 105,07 987,605465 987,080115 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-03 9,3755 9,3705 105,05 105,05 984,896275 984,371025 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-04 9,3735 9,3685 105,06 105,06 984,77991 984,25461 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-05 9,3355 9,3305 105,05 105,05 980,694275 980,169025 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-08 9,3335 9,3285 104,97 104,97 979,737495 979,212645 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-09 9,3455 9,3405 105,01 105,01 981,370955 980,845905 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-10 9,3535 9,3485 104,99 104,99 982,023965 981,499015 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-11 9,3365 9,3315 105,01 105,01 980,425865 979,900815 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-12 9,3025 9,2975 105,03 105,03 977,041575 976,516425 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-16 9,2995 9,2945 105,21 105,21 978,400395 977,874345 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-17 9,3405 9,3355 105,27 105,27 983,274435 982,748085 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-18 9,3365 9,3315 105,27 105,27 982,853355 982,327005 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-19 9,3395 9,3345 105,31 105,31 983,542745 983,016195 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-22 9,3655 9,3605 105,3 105,3 986,18715 985,66065 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-23 9,3715 9,3665 105,33 105,33 987,100095 986,573445 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-24 9,3365 9,3315 105,3 105,3 983,13345 982,60695 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-25 9,3335 9,3285 105,29 105,29 982,724215 982,197765 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-26 9,3415 9,3365 105,31 105,31 983,753365 983,226815 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-29 9,3295 9,3245 105,29 105,29 982,303055 981,776605 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-30 9,3285 9,3235 105,31 105,31 982,384335 981,857785 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-08-31 9,3585 9,3535 105,29 105,29 985,356465 984,830015 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-01 9,3365 9,3315 105,36 105,36 983,69364 983,16684 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-02 9,3025 9,2975 105,48 105,48 981,2277 980,7003 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-05 9,2845 9,2795 105,51 105,51 979,607595 979,080045 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-06 9,3225 9,3175 105,55 105,55 983,989875 983,462125 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-07 9,3075 9,3025 105,49 105,49 981,848175 981,320725 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-08 9,3255 9,3205 105,47 105,47 983,560485 983,033135 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-09 9,3445 9,3395 105,49 105,49 985,751305 985,223855 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-12 9,3015 9,2965 105,48 105,48 981,12222 980,59482 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-13 9,3015 9,2965 105,4 105,4 980,3781 979,8511 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-14 9,3365 9,3315 105,4 105,4 984,0671 983,5401 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-15 9,3425 9,3375 105,4 105,4 984,6995 984,1725 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-16 9,3465 9,3415 105,37 105,37 984,840705 984,313855 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-19 9,3355 9,3305 105,32 105,32 983,21486 982,68826 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-20 9,3395 9,3345 105,4 105,4 984,3833 983,8563 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-21 9,3405 9,3355 105,42 105,42 984,67551 984,14841 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-22 9,3405 9,3355 105,48 105,48 985,23594 984,70854 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-23 9,3695 9,3645 105,49 105,49 988,388555 987,861105 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-26 9,3815 9,3765 105,39 105,39 988,716285 988,189335 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-27 9,3885 9,3835 105,32 105,32 988,79682 988,27022 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-28 9,3935 9,3885 105,3 105,3 989,13555 988,60905 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-29 9,3845 9,3795 105,26 105,26 987,81247 987,28617 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-09-30 9,3435 9,3385 105,2 105,2 982,9362 982,4102 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-03 9,3025 9,2975 105,2 105,2 978,623 978,097 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-04 9,3185 9,3135 105,16 105,16 979,93346 979,40766 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-05 9,3105 9,3055 105,18 105,18 979,27839 978,75249 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-06 9,3015 9,2965 105,19 105,19 978,424785 977,898835 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-07 9,3385 9,3335 105,15 105,15 981,943275 981,417525 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-10 9,3465 9,3415 105,1 105,1 982,31715 981,79165 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-11 9,3395 9,3345 105,15 105,15 982,048425 981,522675 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-12 9,3375 9,3325 105,11 105,11 981,464625 980,939075 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-13 9,3815 9,3765 105,09 105,09 985,901835 985,376385 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-14 9,4135 9,4085 105,06 105,06 988,98231 988,45701 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-17 9,4575 9,4525 105,08 105,08 993,7941 993,2687 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-18 9,4625 9,4575 105,03 105,03 993,846375 993,321225 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-19 9,4605 9,4555 105,05 105,05 993,825525 993,300275 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-20 9,4935 9,4885 105,12 105,12 997,95672 997,43112 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-21 9,4915 9,4865 105,04 105,04 996,98716 996,46196 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-24 9,5455 9,5405 105,09 105,09 1003,136595 1002,611145 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-25 9,5465 9,5415 105,14 105,14 1003,71901 1003,19331 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-26 9,4975 9,4925 105 105 997,2375 996,7125 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-27 9,5355 9,5305 104,92 104,92 1000,46466 999,94006 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-28 9,5135 9,5085 104,87 104,87 997,680745 997,156395 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-10-31 9,5495 9,5445 104,85 104,85 1001,265075 1000,740825 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-02 9,5855 9,5805 104,81 104,81 1004,656255 1004,132205 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-03 9,6515 9,6465 104,76 104,76 1011,09114 1010,56734 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-04 9,5875 9,5825 104,75 104,75 1004,290625 1003,766875 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-07 9,6075 9,6025 104,71 104,71 1006,001325 1005,477775 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-08 9,5685 9,5635 104,69 104,69 1001,726265 1001,202815 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-09 9,5575 9,5525 104,72 104,72 1000,8614 1000,3378 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-10 9,6105 9,6055 104,61 104,61 1005,354405 1004,831355 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-11 9,6365 9,6315 104,64 104,64 1008,36336 1007,84016 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-14 9,5505 9,5455 104,66 104,66 999,55533 999,03203 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-15 9,5805 9,5755 104,67 104,67 1002,790935 1002,267585 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-16 9,6235 9,6185 104,71 104,71 1007,676685 1007,153135 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-17 9,6355 9,6305 104,83 104,83 1010,089465 1009,565315 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-18 9,6085 9,6035 104,78 104,78 1006,77863 1006,25473 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-21 9,5915 9,5865 104,53 104,53 1002,599495 1002,076845 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-22 9,5585 9,5535 104,66 104,66 1000,39261 999,86931 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-23 9,5155 9,5105 104,66 104,66 995,89223 995,36893 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-24 9,5125 9,5075 104,69 104,69 995,863625 995,340175 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-25 9,4965 9,4915 104,81 104,81 995,328165 994,804115 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-28 9,4835 9,4785 104,78 104,78 993,68113 993,15723 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-29 9,4785 9,4735 104,78 104,78 993,15723 992,63333 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-11-30 9,5295 9,5245 104,73 104,73 998,024535 997,500885 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-01 9,5165 9,5115 104,73 104,73 996,663045 996,139395 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-02 9,4905 9,4855 104,84 104,84 994,98402 994,45982 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-05 9,4065 9,4015 104,91 104,91 986,835915 986,311365 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-06 9,4185 9,4135 104,88 104,88 987,81228 987,28788 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-07 9,4255 9,4205 104,92 104,92 988,92346 988,39886 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-08 9,3965 9,3915 104,88 104,88 985,50492 984,98052 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-12 9,4315 9,4265 104,74 104,74 987,85531 987,33161 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-13 9,4295 9,4245 104,8 104,8 988,2116 987,6876 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-14 9,4365 9,4315 104,79 104,79 988,850835 988,326885 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-15 9,4345 9,4295 104,79 104,79 988,641255 988,117305 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-16 9,4765 9,4715 104,77 104,77 992,852905 992,329055 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-19 9,4535 9,4485 104,78 104,78 990,53773 990,01383 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-20 9,4015 9,3965 104,81 104,81 985,371215 984,847165 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-21 9,4485 9,4435 104,78 104,78 990,01383 989,48993 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-22 9,4365 9,4315 104,7 104,7 988,00155 987,47805 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-23 9,4425 9,4375 104,69 104,69 988,535325 988,011875 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-27 9,4915 9,4865 104,71 104,71 993,854965 993,331415 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-28 9,4345 9,4295 104,75 104,75 988,263875 987,740125 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-29 9,4115 9,4065 104,79 104,79 986,231085 985,707135 774638 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- EUR Short-Mid Term Bonds EUR 2005-12-30 9,4325 9,4275 104,77 104,77 988,243025 987,719175 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-04 9,0345 9,0295 383,5 383,5 3464,73075 3462,81325 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-05 9,0615 9,0565 383,79 383,79 3477,713085 3475,794135 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-07 9,0615 9,0565 381,99 381,99 3461,402385 3459,492435 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-10 9,08619 9,08119 385,72 385,72 3504,7252068 3502,7966068 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-11 9,08619 9,08119 385,1 385,1 3499,091769 3497,166269 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-12 9,0455 9,0405 383,23 383,23 3466,506965 3464,590815 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-13 9,0505 9,0455 380,08 380,08 3439,91404 3438,01364 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-14 9,0455 9,0405 380,87 380,87 3445,159585 3443,255235 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-17 9,0685 9,0635 382,44 382,44 3468,15714 3466,24494 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-18 9,0585 9,0535 385,2 385,2 3489,3342 3487,4082 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-19 9,0225 9,0175 384,87 384,87 3472,489575 3470,565225 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-20 9,0315 9,0265 386,36 386,36 3489,41034 3487,47854 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-21 9,0505 9,0455 385,56 385,56 3489,51078 3487,58298 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-24 9,0655 9,0605 385,02 385,02 3490,39881 3488,47371 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-25 9,0715 9,0665 383,92 383,92 3482,73028 3480,81068 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-26 9,0885 9,0835 386,71 386,71 3514,613835 3512,680285 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-27 9,0675 9,0625 387,54 387,54 3514,01895 3512,08125 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-28 9,0955 9,0905 388,41 388,41 3532,783155 3530,841105 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-01-31 9,1075 9,1025 389,77 389,77 3549,830275 3547,881425 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-01 9,1035 9,0985 389,77 389,77 3548,271195 3546,322345 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-02 9,0905 9,0855 392,59 392,59 3568,839395 3566,876445 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-03 9,0695 9,0645 393,83 393,83 3571,841185 3569,872035 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-04 9,0895 9,0845 393,01 393,01 3572,264395 3570,299345 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-07 9,0755 9,0705 397,12 397,12 3604,06256 3602,07696 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-08 9,0895 9,0845 400,21 400,21 3637,708795 3635,707745 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-09 9,0695 9,0645 399,7 399,7 3625,07915 3623,08065 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-10 9,0805 9,0755 399,06 399,06 3623,66433 3621,66903 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-11 9,0935 9,0885 398,17 398,17 3620,758895 3618,768045 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-14 9,1105 9,1055 402,12 402,12 3663,51426 3661,50366 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-15 9,0765 9,0715 403,03 403,03 3658,101795 3656,086645 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-16 9,0705 9,0655 405,08 405,08 3674,27814 3672,25274 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-17 9,0925 9,0875 403,56 403,56 3669,3693 3667,3515 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-18 9,0945 9,0895 404,58 404,58 3679,45281 3677,42991 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-21 9,1185 9,1135 405,39 405,39 3696,548715 3694,521765 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-22 9,0975 9,0925 404,8 404,8 3682,668 3680,644 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-23 9,1045 9,0995 401,67 401,67 3657,004515 3654,996165 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-24 9,0715 9,0665 400,8 400,8 3635,8572 3633,8532 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-25 9,0845 9,0795 401,65 401,65 3648,789425 3646,781175 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-02-28 9,0505 9,0455 407,54 407,54 3688,44077 3686,40307 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-01 9,0565 9,0515 407,54 407,54 3690,88601 3688,84831 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-02 9,0645 9,0595 409,81 409,81 3714,722745 3712,673695 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-03 9,0675 9,0625 408,71 408,71 3705,977925 3703,934375 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-04 9,0415 9,0365 409 409 3697,9735 3695,9285 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-07 9,0425 9,0375 411,51 411,51 3721,079175 3719,021625 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-08 9,0345 9,0295 411,48 411,48 3717,51606 3715,45866 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-09 9,0365 9,0315 409,04 409,04 3696,28996 3694,24476 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-10 9,0655 9,0605 407,43 407,43 3693,556665 3691,519515 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-11 9,0795 9,0745 404,29 404,29 3670,751055 3668,729605 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-14 9,0695 9,0645 405,42 405,42 3676,95669 3674,92959 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-15 9,1035 9,0985 404,24 404,24 3679,99884 3677,97764 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-16 9,0975 9,0925 406,37 406,37 3696,951075 3694,919225 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-17 9,1045 9,0995 400,93 400,93 3650,267185 3648,262535 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-18 9,1035 9,0985 399,56 399,56 3637,39446 3635,39666 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-21 9,1265 9,1215 400,82 400,82 3658,08373 3656,07963 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-22 9,1265 9,1215 398,21 398,21 3634,263565 3632,272515 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-23 9,1165 9,1115 399,33 399,33 3640,491945 3638,495295 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-24 9,1135 9,1085 397,11 397,11 3619,061985 3617,076435 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-29 9,1315 9,1265 399,77 399,77 3650,499755 3648,500905 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-30 9,1425 9,1375 399,6 399,6 3653,343 3651,345 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-03-31 9,1405 9,1355 397,82 397,82 3636,27371 3634,28461 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-01 9,1645 9,1595 399,32 399,32 3659,56814 3657,57154 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-04 9,1695 9,1645 402,08 402,08 3686,87256 3684,86216 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-05 9,1745 9,1695 401,02 401,02 3679,15799 3677,15289 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-06 9,1705 9,1655 404,82 404,82 3712,40181 3710,37771 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-07 9,1505 9,1455 407,26 407,26 3726,63263 3724,59633 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-08 9,1625 9,1575 408,44 408,44 3742,3315 3740,2893 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-11 9,1705 9,1655 409,14 409,14 3752,01837 3749,97267 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-12 9,1525 9,1475 407,84 407,84 3732,7556 3730,7164 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-13 9,1495 9,1445 406,13 406,13 3715,886435 3713,855785 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-14 9,1685 9,1635 408,36 408,36 3744,04866 3742,00686 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-15 9,1925 9,1875 407,39 407,39 3744,932575 3742,895625 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-18 9,1805 9,1755 401,1 401,1 3682,29855 3680,29305 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-19 9,2035 9,1985 393,01 393,01 3617,067535 3615,102485 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-20 9,1915 9,1865 396,08 396,08 3640,56932 3638,58892 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-21 9,1855 9,1805 395,34 395,34 3631,39557 3629,41887 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-22 9,1625 9,1575 395,98 395,98 3628,16675 3626,18685 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-25 9,1685 9,1635 399,11 399,11 3659,240035 3657,244485 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-26 9,1375 9,1325 400,34 400,34 3658,10675 3656,10505 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-27 9,1465 9,1415 399,07 399,07 3650,093755 3648,098405 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-28 9,1505 9,1455 391,73 391,73 3584,525365 3582,566715 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-04-29 9,1705 9,1655 390,01 390,01 3576,586705 3574,636655 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-02 9,1935 9,1885 391,37 391,37 3598,060095 3596,103245 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-03 9,2245 9,2195 394,71 394,71 3641,002395 3639,028845 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-04 9,1915 9,1865 395,37 395,37 3634,043355 3632,066505 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-06 9,1715 9,1665 399,42 399,42 3663,28053 3661,28343 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-09 9,1815 9,1765 401,52 401,52 3686,55588 3684,54828 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-10 9,1985 9,1935 400,15 400,15 3680,779775 3678,779025 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-11 9,2105 9,2055 397,38 397,38 3660,06849 3658,08159 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-12 9,2315 9,2265 397,3 397,3 3667,67495 3665,68845 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-13 9,2045 9,1995 398,39 398,39 3666,980755 3664,988805 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-17 9,2325 9,2275 396,63 396,63 3661,886475 3659,903325 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-18 9,2095 9,2045 395,9 395,9 3646,04105 3644,06155 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-19 9,1905 9,1855 400,33 400,33 3679,232865 3677,231215 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-20 9,1955 9,1905 402,74 402,74 3703,39567 3701,38197 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-23 9,1805 9,1755 403,33 403,33 3702,771065 3700,754415 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-24 9,1815 9,1765 404,49 404,49 3713,824935 3711,802485 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-25 9,1785 9,1735 404,16 404,16 3709,58256 3707,56176 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-26 9,1945 9,1895 404,33 404,33 3717,612185 3715,590535 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-27 9,1955 9,1905 407,73 407,73 3749,281215 3747,242565 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-30 9,1905 9,1855 407,73 407,73 3747,242565 3745,203915 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-05-31 9,1665 9,1615 410,61 410,61 3763,856565 3761,803515 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-01 9,1455 9,1405 410,63 410,63 3755,416665 3753,363515 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-02 9,1565 9,1515 415,82 415,82 3807,45583 3805,37673 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-03 9,1315 9,1265 415,93 415,93 3798,064795 3795,985145 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-07 9,1455 9,1405 413,63 413,63 3782,853165 3780,785015 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-08 9,1455 9,1405 417,31 417,31 3816,508605 3814,422055 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-09 9,1965 9,1915 417,35 417,35 3838,159275 3836,072525 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-10 9,1975 9,1925 417,89 417,89 3843,543275 3841,453825 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-13 9,2365 9,2315 420,5 420,5 3883,94825 3881,84575 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-14 9,2985 9,2935 421,9 421,9 3923,03715 3920,92765 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-15 9,2695 9,2645 422 422 3911,729 3909,619 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-16 9,2695 9,2645 421,48 421,48 3906,90886 3904,80146 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-17 9,2695 9,2645 424,26 424,26 3932,67807 3930,55677 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-20 9,2255 9,2205 425,34 425,34 3923,97417 3921,84747 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-21 9,2725 9,2675 425,58 425,58 3946,19055 3944,06265 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-22 9,2615 9,2565 427,76 427,76 3961,69924 3959,56044 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-27 9,3855 9,3805 426,35 426,35 4001,507925 3999,376175 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-28 9,3995 9,3945 422,86 422,86 3974,67257 3972,55827 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-29 9,4215 9,4165 426,6 426,6 4019,2119 4017,0789 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-06-30 9,4415 9,4365 428,31 428,31 4043,888865 4041,747315 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-01 9,4595 9,4545 427,16 427,16 4040,72002 4038,58422 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-04 9,4795 9,4745 431,64 431,64 4091,73138 4089,57318 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-05 9,4575 9,4525 433,11 433,11 4096,137825 4093,972275 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-06 9,4195 9,4145 432,1 432,1 4070,16595 4068,00545 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-07 9,3965 9,3915 434,63 434,63 4084,000795 4081,827645 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-08 9,4175 9,4125 427,36 427,36 4024,6628 4022,526 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-11 9,4665 9,4615 433,05 433,05 4099,467825 4097,302575 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-12 9,4645 9,4595 434,99 434,99 4116,962855 4114,787905 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-13 9,3915 9,3865 433,27 433,27 4069,055205 4066,888855 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-14 9,3675 9,3625 436,24 436,24 4086,4782 4084,297 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-15 9,4055 9,4005 437,57 437,57 4115,564635 4113,376785 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-18 9,3895 9,3845 436,44 436,44 4097,95338 4095,77118 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-19 9,4425 9,4375 436,32 436,32 4119,9516 4117,77 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-20 9,4265 9,4215 438,25 438,25 4131,163625 4128,972375 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-21 9,4625 9,4575 437,14 437,14 4136,43725 4134,25155 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-22 9,4495 9,4445 439,24 439,24 4150,59838 4148,40218 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-25 9,4275 9,4225 441,01 441,01 4157,621775 4155,416725 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-26 9,4155 9,4105 441,25 441,25 4154,589375 4152,383125 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-27 9,4725 9,4675 441,28 441,28 4180,0248 4177,8184 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-28 9,4515 9,4465 443,22 443,22 4189,09383 4186,87773 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-07-29 9,3885 9,3835 445,76 445,76 4185,01776 4182,78896 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-01 9,3985 9,3935 446,9 446,9 4200,18965 4197,95515 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-02 9,3995 9,3945 447,76 447,76 4208,72012 4206,48132 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-03 9,3755 9,3705 449,78 449,78 4216,91239 4214,66349 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-04 9,3735 9,3685 450,41 450,41 4221,918135 4219,666085 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-05 9,3355 9,3305 447,46 447,46 4177,26283 4175,02553 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-08 9,3335 9,3285 446 446 4162,741 4160,511 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-09 9,3455 9,3405 448,18 448,18 4188,46619 4186,22529 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-10 9,3535 9,3485 450,64 450,64 4215,06124 4212,80804 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-11 9,3365 9,3315 455,61 455,61 4253,802765 4251,524715 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-12 9,3025 9,2975 455,06 455,06 4233,19565 4230,92035 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-16 9,2995 9,2945 453,19 453,19 4214,440405 4212,174455 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-17 9,3405 9,3355 452,4 452,4 4225,6422 4223,3802 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-18 9,3365 9,3315 450,77 450,77 4208,614105 4206,360255 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-19 9,3395 9,3345 449,54 449,54 4198,47883 4196,23113 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-22 9,3655 9,3605 453,51 453,51 4247,347905 4245,080355 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-23 9,3715 9,3665 454,9 454,9 4263,09535 4260,82085 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-24 9,3365 9,3315 452,28 452,28 4222,71222 4220,45082 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-25 9,3335 9,3285 450,82 450,82 4207,72847 4205,47437 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-26 9,3415 9,3365 448,42 448,42 4188,91543 4186,67333 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-29 9,3295 9,3245 446,34 446,34 4164,12903 4161,89733 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-30 9,3285 9,3235 446,95 446,95 4169,373075 4167,138325 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-08-31 9,3585 9,3535 447,58 447,58 4188,67743 4186,43953 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-01 9,3365 9,3315 451,92 451,92 4219,35108 4217,09148 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-02 9,3025 9,2975 456,97 456,97 4250,963425 4248,678575 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-05 9,2845 9,2795 455,83 455,83 4232,153635 4229,874485 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-06 9,3225 9,3175 457,74 457,74 4267,28115 4264,99245 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-07 9,3075 9,3025 460,02 460,02 4281,63615 4279,33605 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-08 9,3255 9,3205 462,42 462,42 4312,29771 4309,98561 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-09 9,3445 9,3395 461,47 461,47 4312,206415 4309,899065 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-12 9,3015 9,2965 463,64 463,64 4312,54746 4310,22926 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-13 9,3015 9,2965 464,99 464,99 4325,104485 4322,779535 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-14 9,3365 9,3315 460,65 460,65 4300,858725 4298,555475 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-15 9,3425 9,3375 462,63 462,63 4322,120775 4319,807625 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-16 9,3465 9,3415 464,12 464,12 4337,89758 4335,57698 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-19 9,3355 9,3305 467,29 467,29 4362,385795 4360,049345 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-20 9,3395 9,3345 468,76 468,76 4377,98402 4375,64022 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-21 9,3405 9,3355 469,68 469,68 4387,04604 4384,69764 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-22 9,3405 9,3355 465,35 465,35 4346,601675 4344,274925 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-23 9,3695 9,3645 464,32 464,32 4350,44624 4348,12464 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-26 9,3815 9,3765 464,12 464,12 4354,14178 4351,82118 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-27 9,3885 9,3835 467,54 467,54 4389,49929 4387,16159 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-28 9,3935 9,3885 468,4 468,4 4399,9154 4397,5734 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-29 9,3845 9,3795 471,74 471,74 4427,04403 4424,68533 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-09-30 9,3435 9,3385 471,58 471,58 4406,20773 4403,84983 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-03 9,3025 9,2975 472,59 472,59 4396,268475 4393,905525 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-04 9,3185 9,3135 475,41 475,41 4430,108085 4427,731035 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-05 9,3105 9,3055 477,86 477,86 4449,11553 4446,72623 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-06 9,3015 9,2965 473,24 473,24 4401,84186 4399,47566 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-07 9,3385 9,3335 464,02 464,02 4333,25077 4330,93067 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-10 9,3465 9,3415 462,09 462,09 4318,924185 4316,613735 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-11 9,3395 9,3345 464,25 464,25 4335,862875 4333,541625 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-12 9,3375 9,3325 465,24 465,24 4344,1785 4341,8523 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-13 9,3815 9,3765 461,4 461,4 4328,6241 4326,3171 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-14 9,4135 9,4085 454,63 454,63 4279,659505 4277,386355 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-17 9,4575 9,4525 453,36 453,36 4287,6522 4285,3854 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-18 9,4625 9,4575 453,22 453,22 4288,59425 4286,32815 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-19 9,4605 9,4555 451,51 451,51 4271,510355 4269,252805 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-20 9,4935 9,4885 441,43 441,43 4190,715705 4188,508555 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-21 9,4915 9,4865 444,49 444,49 4218,876835 4216,654385 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-24 9,5455 9,5405 442,69 442,69 4225,697395 4223,483945 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-25 9,5465 9,5415 449,46 449,46 4290,76989 4288,52259 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-26 9,4975 9,4925 449,05 449,05 4264,852375 4262,607125 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-27 9,5355 9,5305 450,94 450,94 4299,93837 4297,68367 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-28 9,5135 9,5085 445,15 445,15 4234,934525 4232,708775 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-10-31 9,5495 9,5445 445,17 445,17 4251,150915 4248,925065 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-02 9,5855 9,5805 456,8 456,8 4378,6564 4376,3724 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-03 9,6515 9,6465 459,34 459,34 4433,32001 4431,02331 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-04 9,5875 9,5825 467,44 467,44 4481,581 4479,2438 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-07 9,6075 9,6025 467,28 467,28 4489,3926 4487,0562 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-08 9,5685 9,5635 468,63 468,63 4484,086155 4481,743005 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-09 9,5575 9,5525 467,66 467,66 4469,66045 4467,32215 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-10 9,6105 9,6055 467,48 467,48 4492,71654 4490,37914 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-11 9,6365 9,6315 469,5 469,5 4524,33675 4521,98925 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-14 9,5505 9,5455 471,71 471,71 4505,066355 4502,707805 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-15 9,5805 9,5755 472,23 472,23 4524,199515 4521,838365 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-16 9,6235 9,6185 470,26 470,26 4525,54711 4523,19581 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-17 9,6355 9,6305 468,64 468,64 4515,58072 4513,23752 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-18 9,6085 9,6035 471,94 471,94 4534,63549 4532,27579 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-21 9,5915 9,5865 474,72 474,72 4553,27688 4550,90328 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-22 9,5585 9,5535 476,17 476,17 4551,470945 4549,090095 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-23 9,5155 9,5105 476,21 476,21 4531,376255 4528,995205 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-24 9,5125 9,5075 478,51 478,51 4551,826375 4549,433825 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-25 9,4965 9,4915 479,33 479,33 4551,957345 4549,560695 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-28 9,4835 9,4785 481,3 481,3 4564,40855 4562,00205 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-29 9,4785 9,4735 478,01 478,01 4530,817785 4528,427735 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-11-30 9,5295 9,5245 479,63 479,63 4570,634085 4568,235935 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-01 9,5165 9,5115 478,24 478,24 4551,17096 4548,77976 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-02 9,4905 9,4855 484,99 484,99 4602,797595 4600,372645 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-05 9,4065 9,4015 487,82 487,82 4588,67883 4586,23973 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-06 9,4185 9,4135 487,56 487,56 4592,08386 4589,64606 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-07 9,4255 9,4205 489,14 489,14 4610,38907 4607,94337 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-08 9,3965 9,3915 488,6 488,6 4591,1299 4588,6869 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-12 9,4315 9,4265 488,37 488,37 4606,061655 4603,619805 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-13 9,4295 9,4245 488,48 488,48 4606,12216 4603,67976 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-14 9,4365 9,4315 488,96 488,96 4614,07104 4611,62624 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-15 9,4345 9,4295 488,03 488,03 4604,319035 4601,878885 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-16 9,4765 9,4715 487,35 487,35 4618,372275 4615,935525 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-19 9,4535 9,4485 488,79 488,79 4620,776265 4618,332315 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-20 9,4015 9,3965 488,4 488,4 4591,6926 4589,2506 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-21 9,4485 9,4435 489,72 489,72 4627,11942 4624,67082 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-22 9,4365 9,4315 492,41 492,41 4646,626965 4644,164915 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-23 9,4425 9,4375 491,32 491,32 4639,2891 4636,8325 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-27 9,4915 9,4865 492,13 492,13 4671,051895 4668,591245 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-28 9,4345 9,4295 493,72 493,72 4658,00134 4655,53274 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-29 9,4115 9,4065 492,79 492,79 4637,893085 4635,429135 475897 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- European Equity Selection EUR 2005-12-30 9,4325 9,4275 495,55 495,55 4674,275375 4671,797625 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-04 6,728 6,718 155,89 155,89 1048,82792 1047,26902 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-05 6,828 6,818 155,51 155,51 1061,82228 1060,26718 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-07 6,87 6,86 154,51 154,51 1061,4837 1059,9386 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-10 6,96091 6,95091 154,8 154,8 1077,548868 1076,000868 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-11 6,96091 6,95091 154,62 154,62 1076,2959042 1074,7497042 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-12 6,913 6,903 154,91 154,91 1070,89283 1069,34373 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-13 6,843 6,833 155,61 155,61 1064,83923 1063,28313 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-14 6,915 6,905 155,93 155,93 1078,25595 1076,69665 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-17 6,915 6,905 155,32 155,32 1074,0378 1072,4846 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-18 6,968 6,958 155,32 155,32 1082,26976 1080,71656 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-19 6,91 6,9 154,83 154,83 1069,8753 1068,327 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-20 6,96 6,95 155,12 155,12 1079,6352 1078,084 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-21 6,978 6,968 155,3 155,3 1083,6834 1082,1304 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-24 6,933 6,923 155,79 155,79 1080,09207 1078,53417 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-25 6,95 6,94 156,28 156,28 1086,146 1084,5832 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-26 6,995 6,985 156,4 156,4 1094,018 1092,454 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-27 6,93 6,92 156,59 156,59 1085,1687 1083,6028 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-28 6,985 6,975 156,55 156,55 1093,50175 1091,93625 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-01-31 6,998 6,988 156,73 156,73 1096,79654 1095,22924 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-01 6,993 6,983 157,01 157,01 1097,97093 1096,40083 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-02 6,953 6,943 156,91 156,91 1090,99523 1089,42613 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-03 6,968 6,958 156,86 156,86 1093,00048 1091,43188 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-04 7,01 7 157,16 157,16 1101,6916 1100,12 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-07 7,065 7,055 158,32 158,32 1118,5308 1116,9476 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-08 7,123 7,113 158,85 158,85 1131,48855 1129,90005 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-09 7,1 7,09 158,98 158,98 1128,758 1127,1682 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-10 7,088 7,078 159,22 159,22 1128,55136 1126,95916 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-11 7,068 7,058 158,89 158,89 1123,03452 1121,44562 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-14 7,03 7,02 158,96 158,96 1117,4888 1115,8992 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-15 7,005 6,995 159,12 159,12 1114,6356 1113,0444 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-16 6,973 6,963 158,97 158,97 1108,49781 1106,90811 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-17 6,97 6,96 158,5 158,5 1104,745 1103,16 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-18 6,965 6,955 158,99 158,99 1107,36535 1105,77545 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-21 6,978 6,968 158,42 158,42 1105,45476 1103,87056 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-23 6,895 6,885 158,02 158,02 1089,5479 1087,9677 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-24 6,858 6,848 158,25 158,25 1085,2785 1083,696 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-25 6,885 6,875 158,65 158,65 1092,30525 1090,71875 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-02-28 6,828 6,818 158,8 158,8 1084,2864 1082,6984 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-01 6,87 6,86 158,62 158,62 1089,7194 1088,1332 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-02 6,888 6,878 158,5 158,5 1091,748 1090,163 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-03 6,903 6,893 158,65 158,65 1095,16095 1093,57445 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-04 6,9 6,89 158,74 158,74 1095,306 1093,7186 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-07 6,84 6,83 159,54 159,54 1091,2536 1089,6582 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-08 6,825 6,815 160,21 160,21 1093,43325 1091,83115 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-09 6,76 6,75 159,94 159,94 1081,1944 1079,595 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-10 6,745 6,735 158,67 158,67 1070,22915 1068,64245 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-11 6,765 6,755 158,18 158,18 1070,0877 1068,5059 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-14 6,76 6,75 157,68 157,68 1065,9168 1064,34 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-15 6,815 6,805 156,9 156,9 1069,2735 1067,7045 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-16 6,81 6,8 156 156 1062,36 1060,8 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-17 6,795 6,785 155,54 155,54 1056,8943 1055,3389 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-18 6,828 6,818 156,15 156,15 1066,1922 1064,6307 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-21 6,908 6,898 155,96 155,96 1077,37168 1075,81208 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-22 6,928 6,918 155,23 155,23 1075,43344 1073,88114 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-23 6,973 6,963 154,24 154,24 1075,51552 1073,97312 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-24 7,008 6,998 152,88 152,88 1071,38304 1069,85424 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-29 7,055 7,045 152,09 152,09 1072,99495 1071,47405 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-30 7,053 7,043 152,41 152,41 1074,94773 1073,42363 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-03-31 7,065 7,055 153,41 153,41 1083,84165 1082,30755 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-01 7,07 7,06 154,01 154,01 1088,8507 1087,3106 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-04 7,113 7,103 154,29 154,29 1097,46477 1095,92187 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-05 7,163 7,153 153,73 153,73 1101,16799 1099,63069 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-06 7,125 7,115 153,86 153,86 1096,2525 1094,7139 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-07 7,083 7,073 154,99 154,99 1097,79417 1096,24427 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-08 7,153 7,143 154,89 154,89 1107,92817 1106,37927 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-11 7,098 7,088 154,83 154,83 1098,98334 1097,43504 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-12 7,048 7,038 155,13 155,13 1093,35624 1091,80494 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-13 7,075 7,065 155,77 155,77 1102,07275 1100,51505 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-14 7,12 7,11 155,95 155,95 1110,364 1108,8045 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-15 7,17 7,16 154,86 154,86 1110,3462 1108,7976 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-18 7,08 7,07 154,17 154,17 1091,5236 1089,9819 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-19 7,068 7,058 154,34 154,34 1090,87512 1089,33172 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-20 7,043 7,033 155,13 155,13 1092,58059 1091,02929 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-21 7,025 7,015 155,13 155,13 1089,78825 1088,23695 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-22 7,023 7,013 155,86 155,86 1094,60478 1093,04618 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-25 7,04 7,03 155,72 155,72 1096,2688 1094,7116 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-26 7,035 7,025 155,67 155,67 1095,13845 1093,58175 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-27 7,085 7,075 155,69 155,69 1103,06365 1101,50675 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-28 7,085 7,075 155,78 155,78 1103,7013 1102,1435 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-04-29 7,08 7,07 155,48 155,48 1100,7984 1099,2436 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-02 7,15 7,14 155,61 155,61 1112,6115 1111,0554 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-04 7,11 7,1 156,33 156,33 1111,5063 1109,943 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-06 7,085 7,075 157,18 157,18 1113,6203 1112,0485 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-09 7,168 7,158 156,94 156,94 1124,94592 1123,37652 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-10 7,178 7,168 157,14 157,14 1127,95092 1126,37952 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-11 7,15 7,14 156,74 156,74 1120,691 1119,1236 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-12 7,243 7,233 156,65 156,65 1134,61595 1133,04945 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-13 7,265 7,255 156,78 156,78 1139,0067 1137,4389 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-17 7,313 7,303 156,75 156,75 1146,31275 1144,74525 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-18 7,3 7,29 156,4 156,4 1141,72 1140,156 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-19 7,26 7,25 157,15 157,15 1140,909 1139,3375 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-20 7,28 7,27 157,34 157,34 1145,4352 1143,8618 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-23 7,32 7,31 157,58 157,58 1153,4856 1151,9098 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-24 7,295 7,285 158,07 158,07 1153,12065 1151,53995 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-25 7,298 7,288 158,13 158,13 1154,03274 1152,45144 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-26 7,33 7,32 158,72 158,72 1163,4176 1161,8304 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-27 7,338 7,328 158,77 158,77 1165,05426 1163,46656 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-30 7,338 7,328 158,88 158,88 1165,86144 1164,27264 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-05-31 7,403 7,393 158,88 158,88 1176,18864 1174,59984 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-01 7,428 7,418 159,73 159,73 1186,47444 1184,87714 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-02 7,473 7,463 160,44 160,44 1198,96812 1197,36372 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-03 7,438 7,428 161,16 161,16 1198,70808 1197,09648 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-07 7,448 7,438 160,34 160,34 1194,21232 1192,60892 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-08 7,435 7,425 160,38 160,38 1192,4253 1190,8215 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-09 7,523 7,513 160,48 160,48 1207,29104 1205,68624 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-10 7,525 7,515 160,19 160,19 1205,42975 1203,82785 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-13 7,643 7,633 160,24 160,24 1224,71432 1223,11192 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-14 7,663 7,653 160,27 160,27 1228,14901 1226,54631 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-15 7,693 7,683 160,17 160,17 1232,18781 1230,58611 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-16 7,678 7,668 160,17 160,17 1229,78526 1228,18356 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-17 7,643 7,633 160,72 160,72 1228,38296 1226,77576 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-20 7,543 7,533 160,96 160,96 1214,12128 1212,51168 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-21 7,648 7,638 160,83 160,83 1230,02784 1228,41954 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-22 7,608 7,598 161,21 161,21 1226,48568 1224,87358 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-27 7,73 7,72 162,08 162,08 1252,8784 1251,2576 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-28 7,76 7,75 162,37 162,37 1259,9912 1258,3675 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-29 7,833 7,823 162,37 162,37 1271,84421 1270,22051 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-06-30 7,823 7,813 162,42 162,42 1270,61166 1268,98746 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-01 7,858 7,848 162,96 162,96 1280,53968 1278,91008 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-04 7,945 7,935 162,64 162,64 1292,1748 1290,5484 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-06 7,895 7,885 161,88 161,88 1278,0426 1276,4238 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-07 7,878 7,868 161,77 161,77 1274,42406 1272,80636 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-08 7,913 7,903 161,97 161,97 1281,66861 1280,04891 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-11 7,89 7,88 162,18 162,18 1279,6002 1277,9784 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-12 7,77 7,76 162,2 162,2 1260,294 1258,672 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-13 7,703 7,693 162,77 162,77 1253,81731 1252,18961 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-14 7,76 7,75 162,66 162,66 1262,2416 1260,615 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-15 7,76 7,75 162,67 162,67 1262,3192 1260,6925 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-18 7,78 7,77 162,66 162,66 1265,4948 1263,8682 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-19 7,878 7,868 162,46 162,46 1279,85988 1278,23528 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-20 7,818 7,808 162,33 162,33 1269,09594 1267,47264 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-21 7,775 7,765 162,57 162,57 1263,98175 1262,35605 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-22 7,758 7,748 162,11 162,11 1257,64938 1256,02828 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-25 7,838 7,828 162,1 162,1 1270,5398 1268,9188 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-26 7,818 7,808 161,9 161,9 1265,7342 1264,1152 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-27 7,905 7,895 161,82 161,82 1279,1871 1277,5689 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-28 7,848 7,838 162,18 162,18 1272,78864 1271,16684 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-07-29 7,748 7,738 162,95 162,95 1262,5366 1260,9071 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-01 7,72 7,71 162,7 162,7 1256,044 1254,417 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-02 7,7 7,69 162,58 162,58 1251,866 1250,2402 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-03 7,685 7,675 162,79 162,79 1251,04115 1249,41325 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-04 7,618 7,608 163,28 163,28 1243,86704 1242,23424 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-05 7,548 7,538 163,35 163,35 1232,9658 1231,3323 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-08 7,558 7,548 163,15 163,15 1233,0877 1231,4562 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-09 7,548 7,538 162,54 162,54 1226,85192 1225,22652 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-10 7,558 7,548 162,71 162,71 1229,76218 1228,13508 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-11 7,523 7,513 163,25 163,25 1228,12975 1226,49725 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-12 7,46 7,45 163,09 163,09 1216,6514 1215,0205 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-16 7,523 7,513 163,63 163,63 1230,98849 1229,35219 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-17 7,605 7,595 163,96 163,96 1246,9158 1245,2762 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-18 7,61 7,6 163,67 163,67 1245,5287 1243,892 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-19 7,698 7,688 163,79 163,79 1260,85542 1259,21752 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-22 7,69 7,68 163,38 163,38 1256,3922 1254,7584 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-23 7,663 7,653 163,71 163,71 1254,50973 1252,87263 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-24 7,673 7,663 163,89 163,89 1257,52797 1255,88907 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-25 7,588 7,578 163,61 163,61 1241,47268 1239,83658 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-26 7,578 7,568 163,9 163,9 1242,0342 1240,3952 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-29 7,573 7,563 163,91 163,91 1241,29043 1239,65133 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-08-31 7,668 7,658 164,49 164,49 1261,30932 1259,66442 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-01 7,568 7,558 165,43 165,43 1251,97424 1250,31994 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-02 7,435 7,425 165,98 165,98 1234,0613 1232,4015 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-05 7,41 7,4 166,22 166,22 1231,6902 1230,028 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-07 7,43 7,42 166,07 166,07 1233,9001 1232,2394 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-08 7,498 7,488 165,8 165,8 1243,1684 1241,5104 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-09 7,523 7,513 166,43 166,43 1252,05289 1250,38859 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-12 7,555 7,545 166,75 166,75 1259,79625 1258,12875 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-13 7,57 7,56 166,48 166,48 1260,2536 1258,5888 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-14 7,61 7,6 166,65 166,65 1268,2065 1266,54 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-15 7,658 7,648 166,83 166,83 1277,58414 1275,91584 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-16 7,613 7,603 166,97 166,97 1271,14261 1269,47291 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-19 7,698 7,688 166,83 166,83 1284,25734 1282,58904 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-20 7,688 7,678 167,14 167,14 1284,97232 1283,30092 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-21 7,663 7,653 167,1 167,1 1280,4873 1278,8163 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-22 7,648 7,638 167,88 167,88 1283,94624 1282,26744 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-23 7,733 7,723 167,77 167,77 1297,36541 1295,68771 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-26 7,798 7,788 167,51 167,51 1306,24298 1304,56788 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-27 7,825 7,815 167,58 167,58 1311,3135 1309,6377 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-28 7,81 7,8 167,5 167,5 1308,175 1306,5 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-29 7,785 7,775 167,94 167,94 1307,4129 1305,7335 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-09-30 7,785 7,775 168,35 168,35 1310,60475 1308,92125 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-03 7,783 7,773 168,36 168,36 1310,34588 1308,66228 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-04 7,82 7,81 168,24 168,24 1315,6368 1313,9544 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-05 7,795 7,785 167,62 167,62 1306,5979 1304,9217 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-06 7,713 7,703 167,27 167,27 1290,15351 1288,48081 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-07 7,683 7,673 165,4 165,4 1270,7682 1269,1142 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-10 7,698 7,688 166,32 166,32 1280,33136 1278,66816 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-12 7,805 7,795 166,17 166,17 1296,95685 1295,29515 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-13 7,83 7,82 164,44 164,44 1287,5652 1285,9208 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-14 7,833 7,823 163,64 163,64 1281,79212 1280,15572 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-17 7,835 7,825 163,3 163,3 1279,4555 1277,8225 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-18 7,893 7,883 164,04 164,04 1294,76772 1293,12732 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-19 7,96 7,95 164,52 164,52 1309,5792 1307,934 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-20 7,93 7,92 164,51 164,51 1304,5643 1302,9192 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-21 7,883 7,873 164,43 164,43 1296,20169 1294,55739 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-24 7,995 7,985 164,57 164,57 1315,73715 1314,09145 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-25 7,99 7,98 164,73 164,73 1316,1927 1314,5454 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-26 7,868 7,858 165,09 165,09 1298,92812 1297,27722 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-27 7,868 7,858 164,52 164,52 1294,44336 1292,79816 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-28 7,825 7,815 164,29 164,29 1285,56925 1283,92635 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-10-31 7,905 7,895 164,87 164,87 1303,29735 1301,64865 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-02 7,98 7,97 165,68 165,68 1322,1264 1320,4696 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-03 8,01 8 165,42 165,42 1325,0142 1323,36 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-04 8,028 8,018 164,97 164,97 1324,37916 1322,72946 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-07 8,135 8,125 164,6 164,6 1339,021 1337,375 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-08 8,17 8,16 164,94 164,94 1347,5598 1345,9104 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-09 8,12 8,11 165,6 165,6 1344,672 1343,016 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-10 8,173 8,163 165,3 165,3 1350,9969 1349,3439 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-11 8,235 8,225 165,69 165,69 1364,45715 1362,80025 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-15 8,185 8,175 165,57 165,57 1355,19045 1353,53475 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-16 8,21 8,2 166,08 166,08 1363,5168 1361,856 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-17 8,258 8,248 166,89 166,89 1378,17762 1376,50872 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-18 8,223 8,213 167,39 167,39 1376,44797 1374,77407 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-21 8,123 8,113 166,98 166,98 1356,37854 1354,70874 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-22 8,15 8,14 167,5 167,5 1365,125 1363,45 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-23 8,048 8,038 167,78 167,78 1350,29344 1348,61564 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-24 8,053 8,043 168,05 168,05 1353,30665 1351,62615 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-28 8,118 8,108 168,42 168,42 1367,23356 1365,54936 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-29 8,015 8,005 168,4 168,4 1349,726 1348,042 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-11-30 8,088 8,078 167,77 167,77 1356,92376 1355,24606 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-01 8,083 8,073 167,49 167,49 1353,82167 1352,14677 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-02 8,103 8,093 167,63 167,63 1358,30589 1356,62959 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-05 8,045 8,035 167,92 167,92 1350,9164 1349,2372 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-06 7,993 7,983 167,61 167,61 1339,70673 1338,03063 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-07 8,015 8,005 168,37 168,37 1349,48555 1347,80185 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-08 7,988 7,978 168,15 168,15 1343,1822 1341,5007 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-12 7,953 7,943 167,89 167,89 1335,22917 1333,55027 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-13 7,905 7,895 167,73 167,73 1325,90565 1324,22835 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-14 7,848 7,838 167,99 167,99 1318,38552 1316,70562 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-15 7,858 7,848 168,77 168,77 1326,19466 1324,50696 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-16 7,903 7,893 168,42 168,42 1331,02326 1329,33906 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-19 7,865 7,855 168,31 168,31 1323,75815 1322,07505 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-20 7,848 7,838 168,41 168,41 1321,68168 1319,99758 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-21 7,948 7,938 168,42 168,42 1338,60216 1336,91796 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-22 7,98 7,97 168,47 168,47 1344,3906 1342,7059 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-23 7,955 7,945 169,17 169,17 1345,74735 1344,05565 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-27 8,01 8 169,28 169,28 1355,9328 1354,24 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-29 7,938 7,928 169,9 169,9 1348,6662 1346,9672 173435 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Global Emerging Debt USD 2005-12-30 7,958 7,948 169,91 169,91 1352,14378 1350,44468 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-01-18 0,0679 0,0678 10262,59 10262,59 696,829861 695,803602 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-01-19 0,06745 0,06735 10273,56 10273,56 692,951622 691,924266 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-01-20 0,06765 0,06755 10206,11 10206,11 690,4433415 689,4227305 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-01-21 0,06725 0,06715 10240,4 10240,4 688,6669 687,64286 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-01-24 0,06745 0,06735 10322,49 10322,49 696,2519505 695,2197015 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-01-25 0,0674 0,0673 10392,95 10392,95 700,48483 699,445535 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-01-26 0,06755 0,06745 10471,56 10471,56 707,353878 706,306722 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-01-27 0,0672 0,0671 10471,93 10471,93 703,713696 702,666503 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-01-28 0,0677 0,0676 10451,13 10451,13 707,541501 706,496388 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-01-31 0,0676 0,0675 10542,18 10542,18 712,651368 711,59715 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-01 0,06725 0,06715 10597,42 10597,42 712,676495 711,616753 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-02 0,0671 0,067 10658,77 10658,77 715,203467 714,13759 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-03 0,06695 0,06685 10619,34 10619,34 710,964813 709,902879 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-04 0,0671 0,067 10553,87 10553,87 708,164677 707,10929 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-07 0,0677 0,0676 10617,21 10617,21 718,785117 717,723396 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-08 0,06765 0,06755 10587,77 10587,77 716,2626405 715,2038635 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-09 0,06725 0,06715 10554,77 10554,77 709,8082825 708,7528055 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-10 0,06715 0,06705 10571,05 10571,05 709,8460075 708,7889025 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-14 0,0671 0,067 10627,37 10627,37 713,096527 712,03379 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-15 0,0667 0,0666 10608,79 10608,79 707,606293 706,545414 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-16 0,06635 0,06625 10554,06 10554,06 700,261881 699,206475 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-17 0,06615 0,06605 10546,86 10546,86 697,674789 696,620103 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-18 0,06615 0,06605 10563,21 10563,21 698,7563415 697,7000205 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-21 0,06605 0,06595 10617,56 10617,56 701,289838 700,228082 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-22 0,06605 0,06595 10589,23 10589,23 699,4186415 698,3597185 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-23 0,0658 0,0657 10562,66 10562,66 695,023028 693,966762 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-24 0,0655 0,0654 10620,26 10620,26 695,62703 694,565004 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-25 0,06545 0,06535 10714,14 10714,14 701,240463 700,169049 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-02-28 0,06545 0,06535 10812,9 10812,9 707,704305 706,623015 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-01 0,06565 0,06555 10833,52 10833,52 711,220588 710,137236 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-02 0,06585 0,06575 10902,69 10902,69 717,9421365 716,8518675 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-03 0,06575 0,06565 10947,31 10947,31 719,7856325 718,6909015 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-04 0,06545 0,06535 10978,44 10978,44 718,538898 717,441054 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-07 0,0652 0,0651 10910,31 10910,31 711,352212 710,261181 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-08 0,06505 0,06495 10957,92 10957,92 712,812696 711,716904 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-09 0,06465 0,06455 11001,97 11001,97 711,2773605 710,1771635 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-10 0,06485 0,06475 10958,97 10958,97 710,6892045 709,5933075 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-11 0,065 0,0649 11031,43 11031,43 717,04295 715,939807 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-14 0,0647 0,0646 10995,39 10995,39 711,401733 710,302194 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-15 0,06505 0,06495 10988,7 10988,7 714,814935 713,716065 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-16 0,06535 0,06525 11014,56 11014,56 719,801496 718,70004 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-17 0,0652 0,0651 10976,49 10976,49 715,667148 714,569499 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-18 0,0652 0,0651 11083,97 11083,97 722,674844 721,566447 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-22 0,06595 0,06585 11122,7 11122,7 733,542065 732,429795 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-23 0,06615 0,06605 11039,02 11039,02 730,231173 729,127271 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-24 0,0659 0,0658 11030,92 11030,92 726,937628 725,834536 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-29 0,06595 0,06585 10951,57 10951,57 722,2560415 721,1608845 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-30 0,06575 0,06565 10866,74 10866,74 714,488155 713,401481 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-03-31 0,06595 0,06585 11053,46 11053,46 728,975687 727,870341 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-01 0,06585 0,06575 11079,63 11079,63 729,5936355 728,4856725 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-04 0,06595 0,06585 11075,85 11075,85 730,4523075 729,3447225 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-05 0,06585 0,06575 11115,59 11115,59 731,9616015 730,8500425 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-06 0,06595 0,06585 11140,58 11140,58 734,721251 733,607193 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-07 0,06545 0,06535 11138,98 11138,98 729,046241 727,932343 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-08 0,0658 0,0657 11167,2 11167,2 734,80176 733,68504 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-11 0,06555 0,06545 11061 11061 725,04855 723,94245 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-12 0,06545 0,06535 10952,51 10952,51 716,8417795 715,7465285 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-13 0,0659 0,0658 10954,31 10954,31 721,889029 720,793598 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-14 0,06615 0,06605 10895,22 10895,22 720,718803 719,629281 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-15 0,06625 0,06615 10745,5 10745,5 711,889375 710,814825 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-18 0,0658 0,0657 10351,84 10351,84 681,151072 680,115888 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-19 0,06595 0,06585 10575,09 10575,09 697,4271855 696,3696765 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-20 0,0659 0,0658 10658,14 10658,14 702,371426 701,305612 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-21 0,0657 0,0656 10571,94 10571,94 694,576458 693,519264 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-22 0,06585 0,06575 10698,7 10698,7 704,509395 703,439525 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-25 0,0666 0,0665 10733,24 10733,24 714,833784 713,76046 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-26 0,0664 0,0663 10751,17 10751,17 713,877688 712,802571 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-27 0,06675 0,06665 10787,13 10787,13 720,0409275 718,9622145 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-04-28 0,0669 0,0668 10811,29 10811,29 723,275301 722,194172 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-02 0,068 0,0679 10821,17 10821,17 735,83956 734,757443 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-06 0,0677 0,0676 10949,22 10949,22 741,262194 740,167272 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-09 0,06805 0,06795 10994,05 10994,05 748,1451025 747,0456975 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-10 0,0678 0,0677 11014,05 11014,05 746,75259 745,651185 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-11 0,06765 0,06755 10987,21 10987,21 743,2847565 742,1860355 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-12 0,06815 0,06805 10926,07 10926,07 744,6116705 743,5190635 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-13 0,068 0,0679 10880,03 10880,03 739,84204 738,754037 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-17 0,06825 0,06815 10593,26 10593,26 722,989995 721,930669 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-18 0,06785 0,06775 10558,15 10558,15 716,3704775 715,3146625 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-19 0,06775 0,06765 10735,02 10735,02 727,297605 726,224103 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-20 0,0677 0,0676 10728,79 10728,79 726,339083 725,266204 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-23 0,06775 0,06765 10801,07 10801,07 731,7724925 730,6923855 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-24 0,0679 0,0678 10787,86 10787,86 732,495694 731,416908 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-25 0,06795 0,06785 10646,65 10646,65 723,4398675 722,3752025 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-26 0,06785 0,06775 10609,36 10609,36 719,845076 718,78414 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-27 0,06805 0,06795 10676,9 10676,9 726,563045 725,495355 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-30 0,068 0,0679 10782,25 10782,25 733,193 732,114775 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-05-31 0,06835 0,06825 10887,27 10887,27 744,1449045 743,0561775 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-01 0,06855 0,06845 10906,34 10906,34 747,629607 746,538973 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-02 0,069 0,0689 10897,58 10897,58 751,93302 750,843262 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-03 0,06895 0,06885 10921,36 10921,36 753,027772 751,935636 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-07 0,06975 0,06965 10880,43 10880,43 758,9099925 757,8219495 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-08 0,0696 0,0695 10956,51 10956,51 762,573096 761,477445 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-09 0,0702 0,0701 10876,17 10876,17 763,507134 762,419517 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-10 0,0701 0,07 10973,62 10973,62 769,250762 768,1534 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-13 0,07035 0,07025 10986,28 10986,28 772,884798 771,78617 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-14 0,0701 0,07 10953,03 10953,03 767,807403 766,7121 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-15 0,07045 0,07035 11010,54 11010,54 775,692543 774,591489 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-16 0,07025 0,07015 11054,56 11054,56 776,58284 775,477384 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-17 0,0702 0,0701 11169,51 11169,51 784,099602 782,982651 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-20 0,06935 0,06925 11195,47 11195,47 776,4058445 775,2862975 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-21 0,06995 0,06985 11162,06 11162,06 780,786097 779,669891 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-22 0,07015 0,07005 11181,27 11181,27 784,3660905 783,2479635 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-27 0,07085 0,07075 11145,27 11145,27 789,6423795 788,5278525 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-28 0,0707 0,0706 11248,24 11248,24 795,250568 794,125744 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-29 0,0711 0,071 11252,47 11252,47 800,050617 798,92537 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-06-30 0,0709 0,0708 11283,54 11283,54 800,002986 798,874632 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-01 0,07065 0,07055 11316,13 11316,13 799,4845845 798,3529715 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-04 0,07125 0,07115 11356,35 11356,35 809,1399375 808,0043025 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-05 0,07115 0,07105 11318,92 11318,92 805,341158 804,209266 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-06 0,07075 0,07065 11330,95 11330,95 801,6647125 800,5316175 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-07 0,07025 0,07015 11311,97 11311,97 794,6658925 793,5346955 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-08 0,07045 0,07035 11293,72 11293,72 795,642574 794,513202 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-11 0,0705 0,0704 11343,3 11343,3 799,70265 798,56832 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-12 0,0699 0,0698 11354,55 11354,55 793,683045 792,54759 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-13 0,06915 0,06905 11358,4 11358,4 785,43336 784,29752 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-14 0,0694 0,0693 11381,76 11381,76 789,894144 788,755968 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-15 0,0694 0,0693 11378 11378 789,6332 788,4954 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-19 0,06995 0,06985 11399,75 11399,75 797,4125125 796,2725375 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-20 0,0691 0,069 11476,6 11476,6 793,03306 791,8854 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-21 0,06925 0,06915 11426,26 11426,26 791,268505 790,125879 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-22 0,06995 0,06985 11333,23 11333,23 792,7594385 791,6261155 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-25 0,07005 0,06995 11383,35 11383,35 797,4036675 796,2653325 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-26 0,06995 0,06985 11375,41 11375,41 795,7099295 794,5723885 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-27 0,07015 0,07005 11512,75 11512,75 807,6194125 806,4681375 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-28 0,0697 0,0696 11549,21 11549,21 804,979937 803,825016 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-07-29 0,06915 0,06905 11598,2 11598,2 802,01553 800,85571 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-01 0,0689 0,0688 11661,78 11661,78 803,496642 802,330464 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-02 0,0691 0,069 11647,79 11647,79 804,862289 803,69751 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-03 0,06885 0,06875 11590,73 11590,73 798,0217605 796,8626875 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-04 0,0686 0,0685 11489,23 11489,23 788,161178 787,012255 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-05 0,0678 0,0677 11305,36 11305,36 766,503408 765,372872 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-08 0,0674 0,0673 11367,74 11367,74 766,185676 765,048902 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-09 0,06745 0,06735 11547,65 11547,65 778,8889925 777,7342275 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-10 0,06805 0,06795 11694,76 11694,76 795,828418 794,658942 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-11 0,06825 0,06815 11774,51 11774,51 803,6103075 802,4328565 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-12 0,06805 0,06795 11768,38 11768,38 800,838259 799,661421 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-16 0,06895 0,06885 11861,45 11861,45 817,8469775 816,6608325 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-17 0,06915 0,06905 11855,06 11855,06 819,777399 818,591893 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-18 0,0691 0,069 11917,83 11917,83 823,522053 822,33027 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-19 0,06965 0,06955 11848,67 11848,67 825,2598655 824,0749985 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-22 0,07 0,0699 11994,14 11994,14 839,5898 838,390386 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-23 0,06965 0,06955 11975,76 11975,76 834,111684 832,914108 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-24 0,0694 0,0693 11957,05 11957,05 829,81927 828,623565 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-25 0,06905 0,06895 11916,99 11916,99 822,8681595 821,6764605 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-26 0,069 0,0689 11958,37 11958,37 825,12753 823,931693 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-29 0,0687 0,0686 11853,31 11853,31 814,322397 813,137066 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-30 0,0688 0,0687 11954,32 11954,32 822,457216 821,261784 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-08-31 0,0688 0,0687 11916,07 11916,07 819,825616 818,634009 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-01 0,06825 0,06815 12003,91 12003,91 819,2668575 818,0664665 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-02 0,0678 0,0677 12082,08 12082,08 819,165024 817,956816 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-05 0,06775 0,06765 12133,73 12133,73 822,0602075 820,8468345 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-06 0,06825 0,06815 12041,96 12041,96 821,86377 820,659574 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-07 0,0678 0,0677 12017,22 12017,22 814,767516 813,565794 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-08 0,068 0,0679 11908,43 11908,43 809,77324 808,582397 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-09 0,0681 0,068 12017,05 12017,05 818,361105 817,1594 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-12 0,06875 0,06865 12142,46 12142,46 834,794125 833,579879 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-13 0,0685 0,0684 12230,19 12230,19 837,768015 836,544996 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-14 0,0688 0,0687 12237,24 12237,24 841,922112 840,698388 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-15 0,06925 0,06915 12386,58 12386,58 857,770665 856,532007 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-16 0,0688 0,0687 12418,21 12418,21 854,372848 853,131027 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-20 0,0691 0,069 12589,41 12589,41 869,928231 868,66929 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-21 0,06865 0,06855 12570,5 12570,5 862,964825 861,707775 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-22 0,06875 0,06865 12585,92 12585,92 865,282 864,023408 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-26 0,06935 0,06925 12890,38 12890,38 893,947853 892,658815 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-27 0,0693 0,0692 12908,59 12908,59 894,565287 893,274428 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-28 0,06915 0,06905 13060,79 13060,79 903,1536285 901,8475495 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-29 0,06895 0,06885 13178,12 13178,12 908,631374 907,313562 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-09-30 0,06865 0,06855 13073,53 13073,53 897,4978345 896,1904815 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-03 0,06835 0,06825 13059,99 13059,99 892,6503165 891,3443175 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-04 0,0685 0,0684 13132,5 13132,5 899,57625 898,263 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-05 0,06845 0,06835 13045,21 13045,21 892,9446245 891,6401035 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-06 0,06785 0,06775 12780,39 12780,39 867,1494615 865,8714225 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-07 0,06775 0,06765 12833,23 12833,23 869,4513325 868,1680095 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-11 0,0681 0,068 13101,19 13101,19 892,191039 890,88092 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-12 0,0681 0,068 13185,36 13185,36 897,923016 896,60448 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-13 0,0682 0,0681 13140,98 13140,98 896,214836 894,900738 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-14 0,0684 0,0683 13113,86 13113,86 896,988024 895,676638 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-17 0,0686 0,0685 13119,4 13119,4 899,99084 898,6789 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-18 0,0684 0,0683 13069,96 13069,96 893,985264 892,678268 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-19 0,06865 0,06855 12991,12 12991,12 891,840388 890,541276 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-20 0,0686 0,0685 13075,79 13075,79 896,999194 895,691615 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-21 0,06845 0,06835 13074,82 13074,82 894,971429 893,663947 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-24 0,0692 0,0691 13027,39 13027,39 901,495388 900,192649 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-25 0,0691 0,069 13185,24 13185,24 911,100084 909,78156 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-26 0,06825 0,06815 13345,2 13345,2 910,8099 909,47538 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-27 0,06825 0,06815 13534,9 13534,9 923,756925 922,403435 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-28 0,06795 0,06785 13541,83 13541,83 920,1673485 918,8131655 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-10-31 0,0684 0,0683 13834,71 13834,71 946,294164 944,910693 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-02 0,06825 0,06815 14109,64 14109,64 962,98293 961,571966 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-04 0,06825 0,06815 14328,39 14328,39 977,9126175 976,4797785 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-07 0,069 0,0689 14334,5 14334,5 989,0805 987,64705 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-08 0,0693 0,0692 14290,14 14290,14 990,306702 988,877688 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-09 0,0692 0,0691 14236,12 14236,12 985,139504 983,715892 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-10 0,06945 0,06935 14125,13 14125,13 980,9902785 979,5777655 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-11 0,0699 0,0698 14284,68 14284,68 998,499132 997,070664 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-14 0,0689 0,0688 14194,6 14194,6 978,00794 976,58848 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-15 0,0689 0,0688 14098,83 14098,83 971,409387 969,999504 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-16 0,06895 0,06885 14199,44 14199,44 979,051388 977,631444 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-17 0,06955 0,06945 14413,44 14413,44 1002,454752 1001,013408 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-18 0,0689 0,0688 14612,1 14612,1 1006,77369 1005,31248 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-21 0,0682 0,0681 14591,03 14591,03 995,108246 993,649143 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-22 0,06845 0,06835 14655,15 14655,15 1003,1450175 1001,6795025 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-24 0,06785 0,06775 14545,44 14545,44 986,908104 985,45356 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-25 0,06775 0,06765 14608,33 14608,33 989,7143575 988,2535245 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-28 0,0677 0,0676 14762,16 14762,16 999,398232 997,922016 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-29 0,06735 0,06725 14902,7 14902,7 1003,696845 1002,206575 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-11-30 0,0677 0,0676 14997,19 14997,19 1015,309763 1013,810044 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-01 0,06745 0,06735 15314,9 15314,9 1032,990005 1031,458515 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-02 0,0672 0,0671 15591,95 15591,95 1047,77904 1046,219845 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-05 0,06635 0,06625 15895,16 15895,16 1054,643866 1053,05435 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-06 0,066 0,0659 15804,75 15804,75 1043,1135 1041,533025 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-07 0,06635 0,06625 15761,61 15761,61 1045,7828235 1044,2066625 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-08 0,06635 0,06625 15467,94 15467,94 1026,297819 1024,751025 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-12 0,06595 0,06585 16151,65 16151,65 1065,2013175 1063,5861525 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-13 0,06585 0,06575 16204,02 16204,02 1067,034717 1065,414315 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-14 0,0662 0,0661 16071,62 16071,62 1063,941244 1062,334082 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-15 0,06745 0,06735 15928,35 15928,35 1074,3672075 1072,7743725 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-16 0,06805 0,06795 15904,37 15904,37 1082,2923785 1080,7019415 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-19 0,06765 0,06755 15961,67 15961,67 1079,8069755 1078,2108085 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-20 0,06735 0,06725 16289,77 16289,77 1097,1160095 1095,4870325 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-21 0,06795 0,06785 16589,85 16589,85 1127,2803075 1125,6213225 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-22 0,06795 0,06785 16594,39 16594,39 1127,5888005 1125,9293615 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-27 0,06855 0,06845 16788,63 16788,63 1150,8605865 1149,1817235 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-28 0,06765 0,06755 17069,91 17069,91 1154,7794115 1153,0724205 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-29 0,0674 0,0673 17248,41 17248,41 1162,542834 1160,817993 189787 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Japanese Mid Small Cap JPY 2005-12-30 0,06785 0,06775 17141,98 17141,98 1163,083343 1161,369145 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-01 9,1455 9,1405 57,35 57,35 524,494425 524,207675 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-02 9,1565 9,1515 58,26 58,26 533,45769 533,16639 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-03 9,1315 9,1265 58,64 58,64 535,47116 535,17796 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-07 9,1455 9,1405 58,68 58,68 536,65794 536,36454 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-08 9,1455 9,1405 59,22 59,22 541,59651 541,30041 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-09 9,1965 9,1915 59,06 59,06 543,14529 542,84999 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-10 9,1975 9,1925 59,51 59,51 547,343225 547,045675 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-13 9,2365 9,2315 59,75 59,75 551,880875 551,582125 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-14 9,2985 9,2935 60,13 60,13 559,118805 558,818155 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-15 9,2695 9,2645 60,32 60,32 559,13624 558,83464 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-16 9,2695 9,2645 60,32 60,32 559,13624 558,83464 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-17 9,2695 9,2645 60,94 60,94 564,88333 564,57863 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-20 9,2255 9,2205 60,57 60,57 558,788535 558,485685 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-21 9,2725 9,2675 60,75 60,75 563,304375 563,000625 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-22 9,2615 9,2565 60,87 60,87 563,747505 563,443155 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-27 9,3855 9,3805 60,07 60,07 563,786985 563,486635 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-28 9,3995 9,3945 59,47 59,47 558,988265 558,690915 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-29 9,4215 9,4165 60,22 60,22 567,36273 567,06163 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-06-30 9,4415 9,4365 60,45 60,45 570,738675 570,436425 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-01 9,4595 9,4545 60,32 60,32 570,59704 570,29544 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-04 9,4795 9,4745 60,71 60,71 575,500445 575,196895 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-05 9,4575 9,4525 60,88 60,88 575,7726 575,4682 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-06 9,4195 9,4145 61,19 61,19 576,379205 576,073255 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-07 9,3965 9,3915 61,1 61,1 574,12615 573,82065 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-08 9,4175 9,4125 60,43 60,43 569,099525 568,797375 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-11 9,4665 9,4615 61,1 61,1 578,40315 578,09765 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-12 9,4645 9,4595 61,19 61,19 579,132755 578,826805 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-13 9,3915 9,3865 61,07 61,07 573,538905 573,233555 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-14 9,3675 9,3625 61,46 61,46 575,72655 575,41925 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-15 9,4055 9,4005 61,66 61,66 579,94313 579,63483 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-18 9,3895 9,3845 61,9 61,9 581,21005 580,90055 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-19 9,4425 9,4375 61,59 61,59 581,563575 581,255625 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-20 9,4265 9,4215 62,4 62,4 588,2136 587,9016 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-21 9,4625 9,4575 62,4 62,4 590,46 590,148 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-22 9,4495 9,4445 62,18 62,18 587,56991 587,25901 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-25 9,4275 9,4225 62,03 62,03 584,787825 584,477675 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-26 9,4155 9,4105 61,85 61,85 582,348675 582,039425 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-27 9,4725 9,4675 61,88 61,88 586,1583 585,8489 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-28 9,4515 9,4465 61,86 61,86 584,66979 584,36049 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-07-29 9,3885 9,3835 61,95 61,95 581,617575 581,307825 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-01 9,3985 9,3935 61,58 61,58 578,75963 578,45173 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-02 9,3995 9,3945 61,76 61,76 580,51312 580,20432 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-03 9,3755 9,3705 62,42 62,42 585,21871 584,90661 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-04 9,3735 9,3685 61,94 61,94 580,59459 580,28489 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-05 9,3355 9,3305 61,13 61,13 570,679115 570,373465 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-08 9,3335 9,3285 61,14 61,14 570,65019 570,34449 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-09 9,3455 9,3405 61,21 61,21 572,038055 571,732005 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-10 9,3535 9,3485 61,88 61,88 578,79458 578,48518 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-11 9,3365 9,3315 61,9 61,9 577,92935 577,61985 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-12 9,3025 9,2975 62,14 62,14 578,05735 577,74665 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-16 9,2995 9,2945 62,18 62,18 578,24291 577,93201 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-17 9,3405 9,3355 61,87 61,87 577,896735 577,587385 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-18 9,3365 9,3315 61,7 61,7 576,06205 575,75355 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-19 9,3395 9,3345 62,03 62,03 579,329185 579,019035 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-22 9,3655 9,3605 62,11 62,11 581,691205 581,380655 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-23 9,3715 9,3665 61,89 61,89 580,002135 579,692685 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-24 9,3365 9,3315 61,64 61,64 575,50186 575,19366 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-25 9,3335 9,3285 61,15 61,15 570,743525 570,437775 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-26 9,3415 9,3365 60,81 60,81 568,056615 567,752565 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-29 9,3295 9,3245 60,43 60,43 563,781685 563,479535 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-30 9,3285 9,3235 60,57 60,57 565,027245 564,724395 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-08-31 9,3585 9,3535 60,51 60,51 566,282835 565,980285 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-01 9,3365 9,3315 60,82 60,82 567,84593 567,54183 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-02 9,3025 9,2975 60,66 60,66 564,28965 563,98635 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-05 9,2845 9,2795 60,37 60,37 560,505265 560,203415 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-06 9,3225 9,3175 60,63 60,63 565,223175 564,920025 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-07 9,3075 9,3025 61,22 61,22 569,80515 569,49905 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-08 9,3255 9,3205 61,66 61,66 575,01033 574,70203 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-09 9,3445 9,3395 61,72 61,72 576,74254 576,43394 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-12 9,3015 9,2965 61,9 61,9 575,76285 575,45335 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-13 9,3015 9,2965 62,86 62,86 584,69229 584,37799 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-14 9,3365 9,3315 62,37 62,37 582,317505 582,005655 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-15 9,3425 9,3375 62,54 62,54 584,27995 583,96725 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-16 9,3465 9,3415 62,86 62,86 587,52099 587,20669 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-19 9,3355 9,3305 63,14 63,14 589,44347 589,12777 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-20 9,3395 9,3345 63,45 63,45 592,591275 592,274025 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-21 9,3405 9,3355 62,66 62,66 585,27573 584,96243 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-22 9,3405 9,3355 61,84 61,84 577,61652 577,30732 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-23 9,3695 9,3645 61,95 61,95 580,440525 580,130775 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-26 9,3815 9,3765 62,52 62,52 586,53138 586,21878 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-27 9,3885 9,3835 62,86 62,86 590,16111 589,84681 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-28 9,3935 9,3885 62,82 62,82 590,09967 589,78557 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-29 9,3845 9,3795 62,59 62,59 587,375855 587,062905 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-09-30 9,3435 9,3385 62,54 62,54 584,34249 584,02979 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-03 9,3025 9,2975 62,66 62,66 582,89465 582,58135 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-04 9,3185 9,3135 63,05 63,05 587,531425 587,216175 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-05 9,3105 9,3055 63,17 63,17 588,144285 587,828435 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-06 9,3015 9,2965 62,36 62,36 580,04154 579,72974 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-07 9,3385 9,3335 61,6 61,6 575,2516 574,9436 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-10 9,3465 9,3415 61,42 61,42 574,06203 573,75493 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-11 9,3395 9,3345 61,58 61,58 575,12641 574,81851 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-12 9,3375 9,3325 61,8 61,8 577,0575 576,7485 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-13 9,3815 9,3765 60,98 60,98 572,08387 571,77897 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-14 9,4135 9,4085 60,66 60,66 571,02291 570,71961 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-17 9,4575 9,4525 61,18 61,18 578,60985 578,30395 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-18 9,4625 9,4575 61,11 61,11 578,253375 577,947825 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-19 9,4605 9,4555 60,96 60,96 576,71208 576,40728 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-20 9,4935 9,4885 60,52 60,52 574,54662 574,24402 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-21 9,4915 9,4865 60,44 60,44 573,66626 573,36406 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-24 9,5455 9,5405 59,81 59,81 570,916355 570,617305 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-25 9,5465 9,5415 60,45 60,45 577,085925 576,783675 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-26 9,4975 9,4925 60,13 60,13 571,084675 570,784025 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-27 9,5355 9,5305 60,17 60,17 573,751035 573,450185 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-28 9,5135 9,5085 59,12 59,12 562,43812 562,14252 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-10-31 9,5495 9,5445 59,27 59,27 565,998865 565,702515 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-02 9,5855 9,5805 60,55 60,55 580,402025 580,099275 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-03 9,6515 9,6465 60,96 60,96 588,35544 588,05064 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-04 9,5875 9,5825 61,88 61,88 593,2745 592,9651 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-07 9,6075 9,6025 62,53 62,53 600,756975 600,444325 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-08 9,5685 9,5635 63,04 63,04 603,19824 602,88304 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-09 9,5575 9,5525 62,74 62,74 599,63755 599,32385 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-10 9,6105 9,6055 62,9 62,9 604,50045 604,18595 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-11 9,6365 9,6315 63,44 63,44 611,33956 611,02236 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-14 9,5505 9,5455 63,8 63,8 609,3219 609,0029 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-15 9,5805 9,5755 63,66 63,66 609,89463 609,57633 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-16 9,6235 9,6185 63,13 63,13 607,531555 607,215905 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-17 9,6355 9,6305 63,04 63,04 607,42192 607,10672 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-18 9,6085 9,6035 63,46 63,46 609,75541 609,43811 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-21 9,5915 9,5865 63,8 63,8 611,9377 611,6187 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-22 9,5585 9,5535 63,84 63,84 610,21464 609,89544 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-23 9,5155 9,5105 63,92 63,92 608,23076 607,91116 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-24 9,5125 9,5075 64,04 64,04 609,1805 608,8603 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-25 9,4965 9,4915 63,96 63,96 607,39614 607,07634 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-28 9,4835 9,4785 64,31 64,31 609,883885 609,562335 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-29 9,4785 9,4735 63,64 63,64 603,21174 602,89354 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-11-30 9,5295 9,5245 63,85 63,85 608,458575 608,139325 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-01 9,5165 9,5115 63,63 63,63 605,534895 605,216745 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-02 9,4905 9,4855 64,32 64,32 610,42896 610,10736 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-05 9,4065 9,4015 64,67 64,67 608,318355 607,995005 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-06 9,4185 9,4135 64,52 64,52 607,68162 607,35902 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-07 9,4255 9,4205 64,83 64,83 611,055165 610,731015 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-08 9,3965 9,3915 64,74 64,74 608,32941 608,00571 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-12 9,4315 9,4265 64,79 64,79 611,066885 610,742935 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-13 9,4295 9,4245 64,59 64,59 609,051405 608,728455 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-14 9,4365 9,4315 64,55 64,55 609,126075 608,803325 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-15 9,4345 9,4295 64,66 64,66 610,03477 609,71147 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-16 9,4765 9,4715 64,78 64,78 613,88767 613,56377 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-19 9,4535 9,4485 64,51 64,51 609,845285 609,522735 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-20 9,4015 9,3965 64,58 64,58 607,14887 606,82597 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-21 9,4485 9,4435 65,06 65,06 614,71941 614,39411 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-22 9,4365 9,4315 65,6 65,6 619,0344 618,7064 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-23 9,4425 9,4375 65,64 65,64 619,8057 619,4775 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-27 9,4915 9,4865 65,9 65,9 625,48985 625,16035 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-28 9,4345 9,4295 65,84 65,84 621,16748 620,83828 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-29 9,4115 9,4065 66,06 66,06 621,72369 621,39339 923383 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Premium Brands EUR 2005-12-30 9,4325 9,4275 66,31 66,31 625,469075 625,137525 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-04 9,0345 9,0295 354,02 354,02 3198,39369 3196,62359 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-05 9,0615 9,0565 355,66 355,66 3222,81309 3221,03479 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-07 9,0615 9,0565 353,34 353,34 3201,79041 3200,02371 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-10 9,08619 9,08119 356,3 356,3 3237,409497 3235,627997 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-11 9,08619 9,08119 356,85 356,85 3242,4069015 3240,6226515 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-12 9,0455 9,0405 356,21 356,21 3222,097555 3220,316505 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-13 9,0505 9,0455 354,73 354,73 3210,483865 3208,710215 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-14 9,0455 9,0405 357,59 357,59 3234,580345 3232,792395 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-17 9,0685 9,0635 358,86 358,86 3254,32191 3252,52761 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-18 9,0585 9,0535 360,22 360,22 3263,05287 3261,25177 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-19 9,0225 9,0175 361,38 361,38 3260,55105 3258,74415 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-20 9,0315 9,0265 363,63 363,63 3284,124345 3282,306195 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-21 9,0505 9,0455 361,37 361,37 3270,579185 3268,772335 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-24 9,0655 9,0605 361,18 361,18 3274,27729 3272,47139 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-25 9,0715 9,0665 359,38 359,38 3260,11567 3258,31877 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-26 9,0885 9,0835 362,02 362,02 3290,21877 3288,40867 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-27 9,0675 9,0625 363,69 363,69 3297,759075 3295,940625 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-28 9,0955 9,0905 364,04 364,04 3311,12582 3309,30562 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-01-31 9,1075 9,1025 366,88 366,88 3341,3596 3339,5252 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-01 9,1035 9,0985 366,88 366,88 3339,89208 3338,05768 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-02 9,0905 9,0855 369,85 369,85 3362,121425 3360,272175 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-03 9,0695 9,0645 372,07 372,07 3374,488865 3372,628515 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-04 9,0895 9,0845 372,6 372,6 3386,7477 3384,8847 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-07 9,0755 9,0705 375,57 375,57 3408,485535 3406,607685 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-08 9,0895 9,0845 378,42 378,42 3439,64859 3437,75649 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-09 9,0695 9,0645 379,24 379,24 3439,51718 3437,62098 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-10 9,0805 9,0755 379,28 379,28 3444,05204 3442,15564 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-11 9,0935 9,0885 378,16 378,16 3438,79796 3436,90716 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-14 9,1105 9,1055 381,22 381,22 3473,10481 3471,19871 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-15 9,0765 9,0715 382,04 382,04 3467,58606 3465,67586 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-16 9,0705 9,0655 383,1 383,1 3474,90855 3472,99305 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-17 9,0925 9,0875 381,52 381,52 3468,9706 3467,063 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-18 9,0945 9,0895 383,63 383,63 3488,923035 3487,004885 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-21 9,1185 9,1135 383,97 383,97 3501,230445 3499,310595 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-22 9,0975 9,0925 382,69 382,69 3481,522275 3479,608825 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-23 9,1045 9,0995 380,95 380,95 3468,359275 3466,454525 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-24 9,0715 9,0665 379,33 379,33 3441,092095 3439,195445 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-25 9,0845 9,0795 380,45 380,45 3456,198025 3454,295775 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-02-28 9,0505 9,0455 385,23 385,23 3486,524115 3484,597965 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-01 9,0565 9,0515 386,59 386,59 3501,152335 3499,219385 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-02 9,0645 9,0595 387,52 387,52 3512,67504 3510,73744 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-03 9,0675 9,0625 386,79 386,79 3507,218325 3505,284375 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-04 9,0415 9,0365 387,8 387,8 3506,2937 3504,3547 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-07 9,0425 9,0375 389,6 389,6 3522,958 3521,01 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-08 9,0345 9,0295 390,1 390,1 3524,35845 3522,40795 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-09 9,0365 9,0315 389,12 389,12 3516,28288 3514,33728 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-10 9,0655 9,0605 387,05 387,05 3508,801775 3506,866525 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-11 9,0795 9,0745 384,82 384,82 3493,97319 3492,04909 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-14 9,0695 9,0645 386,75 386,75 3507,629125 3505,695375 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-15 9,1035 9,0985 386,42 386,42 3517,77447 3515,84237 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-16 9,0975 9,0925 387,58 387,58 3526,00905 3524,07115 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-17 9,1045 9,0995 385,93 385,93 3513,699685 3511,770035 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-18 9,1035 9,0985 385,32 385,32 3507,76062 3505,83402 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-21 9,1265 9,1215 387,27 387,27 3534,419655 3532,483305 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-22 9,1265 9,1215 386,39 386,39 3526,388335 3524,456385 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-23 9,1165 9,1115 386,26 386,26 3521,33929 3519,40799 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-24 9,1135 9,1085 381,89 381,89 3480,354515 3478,445065 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-29 9,1315 9,1265 383,5 383,5 3501,93025 3500,01275 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-30 9,1425 9,1375 385,03 385,03 3520,136775 3518,211625 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-03-31 9,1405 9,1355 384,34 384,34 3513,05977 3511,13807 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-01 9,1645 9,1595 386,2 386,2 3539,3299 3537,3989 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-04 9,1695 9,1645 387,57 387,57 3553,823115 3551,885265 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-05 9,1745 9,1695 387,16 387,16 3551,99942 3550,06362 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-06 9,1705 9,1655 390,67 390,67 3582,639235 3580,685885 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-07 9,1505 9,1455 392,66 392,66 3593,03533 3591,07203 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-08 9,1625 9,1575 392,55 392,55 3596,739375 3594,776625 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-11 9,1705 9,1655 394,58 394,58 3618,49589 3616,52299 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-12 9,1525 9,1475 394,28 394,28 3608,6477 3606,6763 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-13 9,1495 9,1445 393,9 393,9 3603,98805 3602,01855 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-14 9,1685 9,1635 396,47 396,47 3635,035195 3633,052845 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-15 9,1925 9,1875 395,24 395,24 3633,2437 3631,2675 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-18 9,1805 9,1755 389,1 389,1 3572,13255 3570,18705 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-19 9,2035 9,1985 375,22 375,22 3453,33727 3451,46117 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-20 9,1915 9,1865 378,18 378,18 3476,04147 3474,15057 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-21 9,1855 9,1805 382,45 382,45 3512,994475 3511,082225 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-22 9,1625 9,1575 381,27 381,27 3493,386375 3491,480025 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-25 9,1685 9,1635 384,65 384,65 3526,663525 3524,740275 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-26 9,1375 9,1325 384,84 384,84 3516,4755 3514,5513 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-27 9,1465 9,1415 383,12 383,12 3504,20708 3502,29148 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-28 9,1505 9,1455 376,86 376,86 3448,45743 3446,57313 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-04-29 9,1705 9,1655 373,74 373,74 3427,38267 3425,51397 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-02 9,1935 9,1885 373,09 373,09 3430,002915 3428,137465 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-03 9,2245 9,2195 374,79 374,79 3457,250355 3455,376405 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-04 9,1915 9,1865 374,92 374,92 3446,07718 3444,20258 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-06 9,1715 9,1665 374,44 374,44 3434,17646 3432,30426 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-09 9,1815 9,1765 375,88 375,88 3451,14222 3449,26282 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-10 9,1985 9,1935 376,29 376,29 3461,303565 3459,422115 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-11 9,2105 9,2055 374,71 374,71 3451,266455 3449,392905 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-12 9,2315 9,2265 376,09 376,09 3471,874835 3469,994385 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-13 9,2045 9,1995 379,35 379,35 3491,727075 3489,830325 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-17 9,2325 9,2275 377,84 377,84 3488,4078 3486,5186 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-18 9,2095 9,2045 377,31 377,31 3474,836445 3472,949895 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-19 9,1905 9,1855 379,72 379,72 3489,81666 3487,91806 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-20 9,1955 9,1905 383,18 383,18 3523,53169 3521,61579 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-23 9,1805 9,1755 383,71 383,71 3522,649655 3520,731105 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-24 9,1815 9,1765 384,76 384,76 3532,67394 3530,75014 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-25 9,1785 9,1735 385,13 385,13 3534,915705 3532,990055 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-26 9,1945 9,1895 386,89 386,89 3557,260105 3555,325655 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-27 9,1955 9,1905 390,47 390,47 3590,566885 3588,614535 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-30 9,1905 9,1855 390,9 390,9 3592,56645 3590,61195 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-05-31 9,1665 9,1615 392,04 392,04 3593,63466 3591,67446 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-01 9,1455 9,1405 395,08 395,08 3613,20414 3611,22874 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-02 9,1565 9,1515 396,77 396,77 3633,024505 3631,040655 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-03 9,1315 9,1265 397,33 397,33 3628,218895 3626,232245 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-07 9,1455 9,1405 397,62 397,62 3636,43371 3634,44561 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-08 9,1455 9,1405 400,88 400,88 3666,24804 3664,24364 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-09 9,1965 9,1915 400,99 400,99 3687,704535 3685,699585 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-10 9,1975 9,1925 401,44 401,44 3692,2444 3690,2372 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-13 9,2365 9,2315 403,55 403,55 3727,389575 3725,371825 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-14 9,2985 9,2935 406,28 406,28 3777,79458 3775,76318 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-15 9,2695 9,2645 407,09 407,09 3773,520755 3771,485305 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-16 9,2695 9,2645 408,01 408,01 3782,048695 3780,008645 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-17 9,2695 9,2645 409,92 409,92 3799,75344 3797,70384 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-20 9,2255 9,2205 410,22 410,22 3784,48461 3782,43351 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-21 9,2725 9,2675 410,72 410,72 3808,4012 3806,3476 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-22 9,2615 9,2565 412,35 412,35 3818,979525 3816,917775 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-27 9,3855 9,3805 413,63 413,63 3882,124365 3880,056215 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-28 9,3995 9,3945 410,19 410,19 3855,580905 3853,529955 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-29 9,4215 9,4165 412,67 412,67 3887,970405 3885,907055 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-06-30 9,4415 9,4365 413,22 413,22 3901,41663 3899,35053 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-01 9,4595 9,4545 414,04 414,04 3916,61138 3914,54118 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-04 9,4795 9,4745 417,59 417,59 3958,544405 3956,456455 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-05 9,4575 9,4525 419,61 419,61 3968,461575 3966,363525 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-06 9,4195 9,4145 418,25 418,25 3939,705875 3937,614625 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-07 9,3965 9,3915 420,54 420,54 3951,60411 3949,50141 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-08 9,4175 9,4125 414,64 414,64 3904,8722 3902,799 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-11 9,4665 9,4615 420,84 420,84 3983,88186 3981,77766 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-12 9,4645 9,4595 423,69 423,69 4010,014005 4007,895555 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-13 9,3915 9,3865 423,3 423,3 3975,42195 3973,30545 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-14 9,3675 9,3625 424,39 424,39 3975,473325 3973,351375 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-15 9,4055 9,4005 423,88 423,88 3986,80334 3984,68394 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-18 9,3895 9,3845 423,25 423,25 3974,105875 3971,989625 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-19 9,4425 9,4375 423,55 423,55 3999,370875 3997,253125 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-20 9,4265 9,4215 424,6 424,6 4002,4919 4000,3689 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-21 9,4625 9,4575 423,48 423,48 4007,1795 4005,0621 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-22 9,4495 9,4445 424,59 424,59 4012,163205 4010,040255 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-25 9,4275 9,4225 425,53 425,53 4011,684075 4009,556425 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-26 9,4155 9,4105 426,84 426,84 4018,91202 4016,77782 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-27 9,4725 9,4675 428,75 428,75 4061,334375 4059,190625 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-28 9,4515 9,4465 431,94 431,94 4082,48091 4080,32121 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-07-29 9,3885 9,3835 434,39 434,39 4078,270515 4076,098565 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-01 9,3985 9,3935 436,01 436,01 4097,839985 4095,659935 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-02 9,3995 9,3945 438,68 438,68 4123,37266 4121,17926 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-03 9,3755 9,3705 442,8 442,8 4151,4714 4149,2574 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-04 9,3735 9,3685 442,77 442,77 4150,304595 4148,090745 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-05 9,3355 9,3305 440,84 440,84 4115,46182 4113,25762 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-08 9,3335 9,3285 439,84 439,84 4105,24664 4103,04744 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-09 9,3455 9,3405 440,68 440,68 4118,37494 4116,17154 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-10 9,3535 9,3485 441,56 441,56 4130,13146 4127,92366 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-11 9,3365 9,3315 444,53 444,53 4150,354345 4148,131695 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-12 9,3025 9,2975 443,96 443,96 4129,9379 4127,7181 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-16 9,2995 9,2945 445,49 445,49 4142,834255 4140,606805 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-17 9,3405 9,3355 445,88 445,88 4164,74214 4162,51274 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-18 9,3365 9,3315 443,71 443,71 4142,698415 4140,479865 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-19 9,3395 9,3345 443,24 443,24 4139,63998 4137,42378 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-22 9,3655 9,3605 445 445 4167,6475 4165,4225 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-23 9,3715 9,3665 447,36 447,36 4192,43424 4190,19744 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-24 9,3365 9,3315 447,75 447,75 4180,417875 4178,179125 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-25 9,3335 9,3285 446,66 446,66 4168,90111 4166,66781 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-26 9,3415 9,3365 444,59 444,59 4153,137485 4150,914535 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-29 9,3295 9,3245 445,45 445,45 4155,825775 4153,598525 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-30 9,3285 9,3235 445,91 445,91 4159,671435 4157,441885 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-08-31 9,3585 9,3535 448,03 448,03 4192,888755 4190,648605 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-01 9,3365 9,3315 451,68 451,68 4217,11032 4214,85192 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-02 9,3025 9,2975 455,41 455,41 4236,451525 4234,174475 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-05 9,2845 9,2795 455,9 455,9 4232,80355 4230,52405 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-06 9,3225 9,3175 456,56 456,56 4256,2806 4253,9978 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-07 9,3075 9,3025 458,42 458,42 4266,74415 4264,45205 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-08 9,3255 9,3205 460,81 460,81 4297,283655 4294,979605 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-09 9,3445 9,3395 461,17 461,17 4309,403065 4307,097215 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-12 9,3015 9,2965 462,75 462,75 4304,269125 4301,955375 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-13 9,3015 9,2965 464,51 464,51 4320,639765 4318,317215 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-14 9,3365 9,3315 461,12 461,12 4305,24688 4302,94128 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-15 9,3425 9,3375 461,98 461,98 4316,04815 4313,73825 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-16 9,3465 9,3415 462,9 462,9 4326,49485 4324,18035 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-19 9,3355 9,3305 466,61 466,61 4356,037655 4353,704605 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-20 9,3395 9,3345 468,99 468,99 4380,132105 4377,787155 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-21 9,3405 9,3355 470,89 470,89 4398,348045 4395,993595 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-22 9,3405 9,3355 468,5 468,5 4376,02425 4373,68175 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-23 9,3695 9,3645 466,81 466,81 4373,776295 4371,442245 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-26 9,3815 9,3765 468,09 468,09 4391,386335 4389,045885 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-27 9,3885 9,3835 470 470 4412,595 4410,245 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-28 9,3935 9,3885 470,6 470,6 4420,5811 4418,2281 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-29 9,3845 9,3795 472,65 472,65 4435,583925 4433,220675 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-09-30 9,3435 9,3385 473,9 473,9 4427,88465 4425,51515 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-03 9,3025 9,2975 478,44 478,44 4450,6881 4448,2959 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-04 9,3185 9,3135 481,56 481,56 4487,41686 4485,00906 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-05 9,3105 9,3055 483,65 483,65 4503,023325 4500,605075 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-06 9,3015 9,2965 479,32 479,32 4458,39498 4455,99838 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-07 9,3385 9,3335 469,8 469,8 4387,2273 4384,8783 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-10 9,3465 9,3415 468,9 468,9 4382,57385 4380,22935 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-11 9,3395 9,3345 470,95 470,95 4398,437525 4396,082775 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-12 9,3375 9,3325 471,24 471,24 4400,2035 4397,8473 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-13 9,3815 9,3765 468,03 468,03 4390,823445 4388,483295 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-14 9,4135 9,4085 457,04 457,04 4302,34604 4300,06084 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-17 9,4575 9,4525 454 454 4293,705 4291,435 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-18 9,4625 9,4575 455,73 455,73 4312,345125 4310,066475 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-19 9,4605 9,4555 453,59 453,59 4291,188195 4288,920245 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-20 9,4935 9,4885 439,8 439,8 4175,2413 4173,0423 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-21 9,4915 9,4865 444,87 444,87 4222,483605 4220,259255 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-24 9,5455 9,5405 439,95 439,95 4199,542725 4197,342975 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-25 9,5465 9,5415 447,92 447,92 4276,06828 4273,82868 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-26 9,4975 9,4925 447,56 447,56 4250,7011 4248,4633 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-27 9,5355 9,5305 449,29 449,29 4284,204795 4281,958345 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-28 9,5135 9,5085 443,45 443,45 4218,761575 4216,544325 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-10-31 9,5495 9,5445 441,8 441,8 4218,9691 4216,7601 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-02 9,5855 9,5805 450,8 450,8 4321,1434 4318,8894 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-03 9,6515 9,6465 450,68 450,68 4349,73802 4347,48462 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-04 9,5875 9,5825 455,1 455,1 4363,27125 4360,99575 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-07 9,6075 9,6025 454,86 454,86 4370,06745 4367,79315 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-08 9,5685 9,5635 456,7 456,7 4369,93395 4367,65045 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-09 9,5575 9,5525 457,64 457,64 4373,8943 4371,6061 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-10 9,6105 9,6055 455,94 455,94 4381,81137 4379,53167 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-11 9,6365 9,6315 456,88 456,88 4402,72412 4400,43972 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-14 9,5505 9,5455 458,25 458,25 4376,516625 4374,225375 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-15 9,5805 9,5755 459,55 459,55 4402,718775 4400,421025 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-16 9,6235 9,6185 456,86 456,86 4396,59221 4394,30791 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-17 9,6355 9,6305 454,36 454,36 4377,98578 4375,71398 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-18 9,6085 9,6035 456,95 456,95 4390,604075 4388,319325 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-21 9,5915 9,5865 459,27 459,27 4405,088205 4402,791855 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-22 9,5585 9,5535 461,22 461,22 4408,57137 4406,26527 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-23 9,5155 9,5105 462,35 462,35 4399,491425 4397,179675 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-24 9,5125 9,5075 462,91 462,91 4403,431375 4401,116825 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-25 9,4965 9,4915 463,58 463,58 4402,38747 4400,06957 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-28 9,4835 9,4785 466,45 466,45 4423,578575 4421,246325 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-29 9,4785 9,4735 465,86 465,86 4415,65401 4413,32471 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-11-30 9,5295 9,5245 466,53 466,53 4445,797635 4443,464985 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-01 9,5165 9,5115 468,35 468,35 4457,052775 4454,711025 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-02 9,4905 9,4855 472,83 472,83 4487,393115 4485,028965 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-05 9,4065 9,4015 476,89 476,89 4485,865785 4483,481335 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-06 9,4185 9,4135 476,39 476,39 4486,879215 4484,497265 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-07 9,4255 9,4205 476,49 476,49 4491,156495 4488,774045 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-08 9,3965 9,3915 477,9 477,9 4490,58735 4488,19785 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-12 9,4315 9,4265 480,29 480,29 4529,855135 4527,453685 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-13 9,4295 9,4245 480,61 480,61 4531,911995 4529,508945 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-14 9,4365 9,4315 480,02 480,02 4529,70873 4527,30863 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-15 9,4345 9,4295 477,71 477,71 4506,954995 4504,566445 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-16 9,4765 9,4715 478,38 478,38 4533,36807 4530,97617 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-19 9,4535 9,4485 478,4 478,4 4522,5544 4520,1624 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-20 9,4015 9,3965 479,08 479,08 4504,07062 4501,67522 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-21 9,4485 9,4435 480,09 480,09 4536,130365 4533,729915 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-22 9,4365 9,4315 483,01 483,01 4557,923865 4555,508815 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-23 9,4425 9,4375 482,03 482,03 4551,568275 4549,158125 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-27 9,4915 9,4865 483,35 483,35 4587,716525 4585,299775 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-28 9,4345 9,4295 485,33 485,33 4578,845885 4576,419235 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-29 9,4115 9,4065 485,52 485,52 4569,47148 4567,04388 440065 Pictet Funds (Europe) S.A. Pictet Funds (LUX)- Small Cap Europe EUR 2005-12-30 9,4325 9,4275 489,83 489,83 4620,321475 4617,872325 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-04 9,0345 9,0295 95,45 95,45 862,343025 861,865775 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-05 9,0615 9,0565 95,38 95,38 864,28587 863,80897 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-07 9,0615 9,0565 95,65 95,65 866,732475 866,254225 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-10 9,08619 9,08119 96,18 96,18 873,9097542 873,4288542 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-11 9,08619 9,08119 96,16 96,16 873,7280304 873,2472304 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-12 9,0455 9,0405 95,23 95,23 861,402965 860,926815 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-13 9,0505 9,0455 94,92 94,92 859,07346 858,59886 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-14 9,0455 9,0405 95,16 95,16 860,76978 860,29398 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-17 9,0685 9,0635 95,9 95,9 869,66915 869,18965 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-18 9,0585 9,0535 96,04 96,04 869,97834 869,49814 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-19 9,0225 9,0175 96,69 96,69 872,385525 871,902075 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-20 9,0315 9,0265 96,58 96,58 872,26227 871,77937 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-21 9,0505 9,0455 96,64 96,64 874,64032 874,15712 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-24 9,0655 9,0605 96,64 96,64 876,08992 875,60672 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-25 9,0715 9,0665 96,58 96,58 876,12547 875,64257 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-26 9,0885 9,0835 97,06 97,06 882,12981 881,64451 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-27 9,0675 9,0625 96,9 96,9 878,64075 878,15625 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-28 9,0955 9,0905 96,85 96,85 880,899175 880,414925 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-01-31 9,1075 9,1025 96,79 96,79 881,514925 881,030975 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-01 9,1035 9,0985 97,77 97,77 890,049195 889,560345 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-02 9,0905 9,0855 98,17 98,17 892,414385 891,923535 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-03 9,0695 9,0645 98,13 98,13 889,990035 889,499385 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-04 9,0895 9,0845 98,14 98,14 892,04353 891,55283 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-07 9,0755 9,0705 99,59 99,59 903,829045 903,331095 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-08 9,0895 9,0845 99,72 99,72 906,40494 905,90634 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-09 9,0695 9,0645 99,79 99,79 905,045405 904,546455 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-10 9,0805 9,0755 99,29 99,29 901,602845 901,106395 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-11 9,0935 9,0885 99,01 99,01 900,347435 899,852385 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-14 9,1105 9,1055 99,76 99,76 908,86348 908,36468 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-15 9,0765 9,0715 99,64 99,64 904,38246 903,88426 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-16 9,0705 9,0655 99,77 99,77 904,963785 904,464935 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-17 9,0925 9,0875 99,23 99,23 902,248775 901,752625 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-18 9,0945 9,0895 98,86 98,86 899,08227 898,58797 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-21 9,1185 9,1135 98,47 98,47 897,898695 897,406345 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-22 9,0975 9,0925 97,2 97,2 884,277 883,791 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-23 9,1045 9,0995 96,21 96,21 875,943945 875,462895 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-24 9,0715 9,0665 96,11 96,11 871,861865 871,381315 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-25 9,0845 9,0795 96,02 96,02 872,29369 871,81359 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-02-28 9,0505 9,0455 96,97 96,97 877,626985 877,142135 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-01 9,0565 9,0515 97,15 97,15 879,838975 879,353225 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-02 9,0645 9,0595 97,91 97,91 887,505195 887,015645 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-03 9,0675 9,0625 97,21 97,21 881,451675 880,965625 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-04 9,0415 9,0365 96,78 96,78 875,03637 874,55247 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-07 9,0425 9,0375 97,47 97,47 881,372475 880,885125 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-08 9,0345 9,0295 97,79 97,79 883,483755 882,994805 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-09 9,0365 9,0315 96,67 96,67 873,558455 873,075105 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-10 9,0655 9,0605 95,76 95,76 868,11228 867,63348 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-11 9,0795 9,0745 95,3 95,3 865,27635 864,79985 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-14 9,0695 9,0645 95,08 95,08 862,32806 861,85266 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-15 9,1035 9,0985 95,48 95,48 869,20218 868,72478 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-16 9,0975 9,0925 96,08 96,08 874,0878 873,6074 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-17 9,1045 9,0995 95,33 95,33 867,931985 867,455335 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-18 9,1035 9,0985 95,71 95,71 871,295985 870,817435 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-21 9,1265 9,1215 96,06 96,06 876,69159 876,21129 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-22 9,1265 9,1215 96,31 96,31 878,973215 878,491665 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-23 9,1165 9,1115 96,53 96,53 880,015745 879,533095 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-24 9,1135 9,1085 96,49 96,49 879,361615 878,879165 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-29 9,1315 9,1265 97,5 97,5 890,32125 889,83375 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-30 9,1425 9,1375 97,1 97,1 887,73675 887,25125 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-03-31 9,1405 9,1355 97,23 97,23 888,730815 888,244665 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-01 9,1645 9,1595 97,64 97,64 894,82178 894,33358 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-04 9,1695 9,1645 97,98 97,98 898,42761 897,93771 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-05 9,1745 9,1695 98,18 98,18 900,75241 900,26151 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-06 9,1705 9,1655 99,17 99,17 909,438485 908,942635 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-07 9,1505 9,1455 99,69 99,69 912,213345 911,714895 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-08 9,1625 9,1575 99,95 99,95 915,791875 915,292125 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-11 9,1705 9,1655 100 100 917,05 916,55 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-12 9,1525 9,1475 99,46 99,46 910,30765 909,81035 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-13 9,1495 9,1445 99,9 99,9 914,03505 913,53555 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-14 9,1685 9,1635 99,77 99,77 914,741245 914,242395 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-15 9,1925 9,1875 99,24 99,24 912,2637 911,7675 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-18 9,1805 9,1755 97,89 97,89 898,679145 898,189695 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-19 9,2035 9,1985 96,31 96,31 886,389085 885,907535 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-20 9,1915 9,1865 96,8 96,8 889,7372 889,2532 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-21 9,1855 9,1805 96,3 96,3 884,56365 884,08215 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-22 9,1625 9,1575 96,63 96,63 885,372375 884,889225 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-25 9,1685 9,1635 97,13 97,13 890,536405 890,050755 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-26 9,1375 9,1325 98,1 98,1 896,38875 895,89825 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-27 9,1465 9,1415 97,67 97,67 893,338655 892,850305 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-28 9,1505 9,1455 97,63 97,63 893,363315 892,875165 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-04-29 9,1705 9,1655 97,68 97,68 895,77444 895,28604 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-02 9,1935 9,1885 98,44 98,44 905,00814 904,51594 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-03 9,2245 9,2195 98,95 98,95 912,764275 912,269525 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-04 9,1915 9,1865 99,07 99,07 910,601905 910,106555 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-06 9,1715 9,1665 99,85 99,85 915,774275 915,275025 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-09 9,1815 9,1765 100,39 100,39 921,730785 921,228835 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-10 9,1985 9,1935 100,49 100,49 924,357265 923,854815 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-11 9,2105 9,2055 99,8 99,8 919,2079 918,7089 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-12 9,2315 9,2265 100,26 100,26 925,55019 925,04889 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-13 9,2045 9,1995 101,07 101,07 930,298815 929,793465 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-17 9,2325 9,2275 100,9 100,9 931,55925 931,05475 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-18 9,2095 9,2045 101,08 101,08 930,89626 930,39086 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-19 9,1905 9,1855 101,91 101,91 936,603855 936,094305 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-20 9,1955 9,1905 102,22 102,22 939,96401 939,45291 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-23 9,1805 9,1755 102,29 102,29 939,073345 938,561895 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-24 9,1815 9,1765 102,81 102,81 943,950015 943,435965 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-25 9,1785 9,1735 102,79 102,79 943,458015 942,944065 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-26 9,1945 9,1895 102,32 102,32 940,78124 940,26964 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-27 9,1955 9,1905 103,57 103,57 952,377935 951,860085 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-30 9,1905 9,1855 103,77 103,77 953,698185 953,179335 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-05-31 9,1665 9,1615 103,77 103,77 951,207705 950,688855 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-01 9,1455 9,1405 104,66 104,66 957,16803 956,64473 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-02 9,1565 9,1515 105,61 105,61 967,017965 966,489915 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-03 9,1315 9,1265 105,63 105,63 964,560345 964,032195 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-07 9,1455 9,1405 105,72 105,72 966,86226 966,33366 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-08 9,1455 9,1405 106,33 106,33 972,441015 971,909365 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-09 9,1965 9,1915 106,23 106,23 976,944195 976,413045 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-10 9,1975 9,1925 106,89 106,89 983,120775 982,586325 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-13 9,2365 9,2315 107,24 107,24 990,52226 989,98606 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-14 9,2985 9,2935 108,1 108,1 1005,16785 1004,62735 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-15 9,2695 9,2645 108,35 108,35 1004,350325 1003,808575 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-16 9,2695 9,2645 107,34 107,34 994,98813 994,45143 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-17 9,2695 9,2645 107,87 107,87 999,900965 999,361615 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-20 9,2255 9,2205 107,45 107,45 991,279975 990,742725 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-21 9,2725 9,2675 107,66 107,66 998,27735 997,73905 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-22 9,2615 9,2565 108,26 108,26 1002,64999 1002,10869 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-27 9,3855 9,3805 107,62 107,62 1010,06751 1009,52941 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-28 9,3995 9,3945 107,1 107,1 1006,68645 1006,15095 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-29 9,4215 9,4165 108,32 108,32 1020,53688 1019,99528 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-06-30 9,4415 9,4365 108,61 108,61 1025,441315 1024,898265 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-01 9,4595 9,4545 108,5 108,5 1026,35575 1025,81325 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-04 9,4795 9,4745 109,61 109,61 1039,047995 1038,499945 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-05 9,4575 9,4525 109,61 109,61 1036,636575 1036,088525 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-06 9,4195 9,4145 109,66 109,66 1032,94237 1032,39407 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-07 9,3965 9,3915 109,42 109,42 1028,16503 1027,61793 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-08 9,4175 9,4125 108,78 108,78 1024,43565 1023,89175 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-11 9,4665 9,4615 110,04 110,04 1041,69366 1041,14346 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-12 9,4645 9,4595 110,45 110,45 1045,354025 1044,801775 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-13 9,3915 9,3865 109,69 109,69 1030,153635 1029,605185 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-14 9,3675 9,3625 109,69 109,69 1027,521075 1026,972625 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-15 9,4055 9,4005 109,08 109,08 1025,95194 1025,40654 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-18 9,3895 9,3845 109,18 109,18 1025,14561 1024,59971 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-19 9,4425 9,4375 108,98 108,98 1029,04365 1028,49875 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-20 9,4265 9,4215 109,95 109,95 1036,443675 1035,893925 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-21 9,4625 9,4575 110,36 110,36 1044,2815 1043,7297 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-22 9,4495 9,4445 110,05 110,05 1039,917475 1039,367225 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-25 9,4275 9,4225 110,49 110,49 1041,644475 1041,092025 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-26 9,4155 9,4105 110,47 110,47 1040,130285 1039,577935 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-27 9,4725 9,4675 110,43 110,43 1046,048175 1045,496025 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-28 9,4515 9,4465 111,05 111,05 1049,589075 1049,033825 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-07-29 9,3885 9,3835 111,21 111,21 1044,095085 1043,539035 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-01 9,3985 9,3935 111,44 111,44 1047,36884 1046,81164 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-02 9,3995 9,3945 111,1 111,1 1044,28445 1043,72895 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-03 9,3755 9,3705 111,46 111,46 1044,99323 1044,43593 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-04 9,3735 9,3685 111,04 111,04 1040,83344 1040,27824 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-05 9,3355 9,3305 110,46 110,46 1031,19933 1030,64703 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-08 9,3335 9,3285 109,95 109,95 1026,218325 1025,668575 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-09 9,3455 9,3405 110,01 110,01 1028,098455 1027,548405 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-10 9,3535 9,3485 110,43 110,43 1032,907005 1032,354855 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-11 9,3365 9,3315 111,33 111,33 1039,432545 1038,875895 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-12 9,3025 9,2975 111,12 111,12 1033,6938 1033,1382 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-16 9,2995 9,2945 111,48 111,48 1036,70826 1036,15086 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-17 9,3405 9,3355 111,17 111,17 1038,383385 1037,827535 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-18 9,3365 9,3315 111,17 111,17 1037,938705 1037,382855 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-19 9,3395 9,3345 111,42 111,42 1040,60709 1040,04999 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-22 9,3655 9,3605 112,1 112,1 1049,87255 1049,31205 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-23 9,3715 9,3665 112,02 112,02 1049,79543 1049,23533 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-24 9,3365 9,3315 111,77 111,77 1043,540605 1042,981755 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-25 9,3335 9,3285 111,45 111,45 1040,218575 1039,661325 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-26 9,3415 9,3365 111,34 111,34 1040,08261 1039,52591 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-29 9,3295 9,3245 110,63 110,63 1032,122585 1031,569435 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-30 9,3285 9,3235 111,12 111,12 1036,58292 1036,02732 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-08-31 9,3585 9,3535 111,17 111,17 1040,384445 1039,828595 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-01 9,3365 9,3315 112,25 112,25 1048,022125 1047,460875 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-02 9,3025 9,2975 112,41 112,41 1045,694025 1045,131975 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-05 9,2845 9,2795 112,57 112,57 1045,156165 1044,593315 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-06 9,3225 9,3175 113,72 113,72 1060,1547 1059,5861 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-07 9,3075 9,3025 115,03 115,03 1070,641725 1070,066575 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-08 9,3255 9,3205 114,96 114,96 1072,05948 1071,48468 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-09 9,3445 9,3395 114,95 114,95 1074,150275 1073,575525 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-12 9,3015 9,2965 115,81 115,81 1077,206715 1076,627665 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-13 9,3015 9,2965 116,38 116,38 1082,50857 1081,92667 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-14 9,3365 9,3315 115,6 115,6 1079,2994 1078,7214 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-15 9,3425 9,3375 115,2 115,2 1076,256 1075,68 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-16 9,3465 9,3415 115,34 115,34 1078,02531 1077,44861 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-19 9,3355 9,3305 115,72 115,72 1080,30406 1079,72546 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-20 9,3395 9,3345 115,85 115,85 1081,981075 1081,401825 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-21 9,3405 9,3355 115,61 115,61 1079,855205 1079,277155 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-22 9,3405 9,3355 114,07 114,07 1065,470835 1064,900485 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-23 9,3695 9,3645 114,43 114,43 1072,151885 1071,579735 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-26 9,3815 9,3765 115,01 115,01 1078,966315 1078,391265 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-27 9,3885 9,3835 115,42 115,42 1083,62067 1083,04357 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-28 9,3935 9,3885 115,51 115,51 1085,043185 1084,465635 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-29 9,3845 9,3795 115,87 115,87 1087,382015 1086,802665 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-09-30 9,3435 9,3385 115,66 115,66 1080,66921 1080,09091 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-03 9,3025 9,2975 116,2 116,2 1080,9505 1080,3695 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-04 9,3185 9,3135 117,23 117,23 1092,407755 1091,821605 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-05 9,3105 9,3055 117,23 117,23 1091,469915 1090,883765 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-06 9,3015 9,2965 115,43 115,43 1073,672145 1073,094995 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-07 9,3385 9,3335 113,52 113,52 1060,10652 1059,53892 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-10 9,3465 9,3415 113,78 113,78 1063,44477 1062,87587 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-11 9,3395 9,3345 113,89 113,89 1063,675655 1063,106205 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-12 9,3375 9,3325 113,22 113,22 1057,19175 1056,62565 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-13 9,3815 9,3765 111,93 111,93 1050,071295 1049,511645 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-14 9,4135 9,4085 111,19 111,19 1046,687065 1046,131115 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-17 9,4575 9,4525 110,77 110,77 1047,607275 1047,053425 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-18 9,4625 9,4575 110,89 110,89 1049,296625 1048,742175 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-19 9,4605 9,4555 110,95 110,95 1049,642475 1049,087725 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-20 9,4935 9,4885 109,93 109,93 1043,620455 1043,070805 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-21 9,4915 9,4865 109,58 109,58 1040,07857 1039,53067 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-24 9,5455 9,5405 109,41 109,41 1044,373155 1043,826105 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-25 9,5465 9,5415 110,96 110,96 1059,27964 1058,72484 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-26 9,4975 9,4925 109,51 109,51 1040,071225 1039,523675 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-27 9,5355 9,5305 109,25 109,25 1041,753375 1041,207125 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-28 9,5135 9,5085 107,8 107,8 1025,5553 1025,0163 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-10-31 9,5495 9,5445 108,79 108,79 1038,890105 1038,346155 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-02 9,5855 9,5805 110,72 110,72 1061,30656 1060,75296 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-03 9,6515 9,6465 110,94 110,94 1070,73741 1070,18271 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-04 9,5875 9,5825 111,94 111,94 1073,22475 1072,66505 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-07 9,6075 9,6025 112,58 112,58 1081,61235 1081,04945 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-08 9,5685 9,5635 113,26 113,26 1083,72831 1083,16201 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-09 9,5575 9,5525 112,96 112,96 1079,6152 1079,0504 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-10 9,6105 9,6055 113,3 113,3 1088,86965 1088,30315 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-11 9,6365 9,6315 113,99 113,99 1098,464635 1097,894685 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-14 9,5505 9,5455 114,89 114,89 1097,256945 1096,682495 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-15 9,5805 9,5755 114,84 114,84 1100,22462 1099,65042 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-16 9,6235 9,6185 115,01 115,01 1106,798735 1106,223685 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-17 9,6355 9,6305 114,98 114,98 1107,88979 1107,31489 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-18 9,6085 9,6035 115,62 115,62 1110,93477 1110,35667 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-21 9,5915 9,5865 115,72 115,72 1109,92838 1109,34978 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-22 9,5585 9,5535 116,32 116,32 1111,84472 1111,26312 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-23 9,5155 9,5105 116,43 116,43 1107,889665 1107,307515 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-24 9,5125 9,5075 116,6 116,6 1109,1575 1108,5745 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-25 9,4965 9,4915 116,69 116,69 1108,146585 1107,563135 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-28 9,4835 9,4785 116,94 116,94 1109,00049 1108,41579 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-29 9,4785 9,4735 116,33 116,33 1102,633905 1102,052255 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-11-30 9,5295 9,5245 116,76 116,76 1112,66442 1112,08062 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-01 9,5165 9,5115 116,98 116,98 1113,24017 1112,65527 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-02 9,4905 9,4855 118,4 118,4 1123,6752 1123,0832 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-05 9,4065 9,4015 118,81 118,81 1117,586265 1116,992215 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-06 9,4185 9,4135 118,3 118,3 1114,20855 1113,61705 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-07 9,4255 9,4205 118,48 118,48 1116,73324 1116,14084 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-08 9,3965 9,3915 118 118 1108,787 1108,197 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-12 9,4315 9,4265 118,02 118,02 1113,10563 1112,51553 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-13 9,4295 9,4245 118,11 118,11 1113,718245 1113,127695 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-14 9,4365 9,4315 118,69 118,69 1120,018185 1119,424735 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-15 9,4345 9,4295 118,34 118,34 1116,47873 1115,88703 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-16 9,4765 9,4715 118,49 118,49 1122,870485 1122,278035 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-19 9,4535 9,4485 119,16 119,16 1126,47906 1125,88326 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-20 9,4015 9,3965 118,33 118,33 1112,479495 1111,887845 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-21 9,4485 9,4435 119,26 119,26 1126,82811 1126,23181 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-22 9,4365 9,4315 120,3 120,3 1135,21095 1134,60945 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-23 9,4425 9,4375 120,05 120,05 1133,572125 1132,971875 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-27 9,4915 9,4865 119,81 119,81 1137,176615 1136,577565 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-28 9,4345 9,4295 119,54 119,54 1127,80013 1127,20243 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-29 9,4115 9,4065 119,6 119,6 1125,6154 1125,0174 189258 Pictet Funds (Europe) S.A. Pictet Funds(LUX) - Water EUR 2005-12-30 9,4325 9,4275 119,83 119,83 1130,296475 1129,697325 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-03 1 1 79,45 79,45 79,45 79,45 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-04 1 1 79,78 79,78 79,78 79,78 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-05 1 1 79,17 79,17 79,17 79,17 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-07 1 1 79,54 79,54 79,54 79,54 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-10 1 1 79,75 79,75 79,75 79,75 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-11 1 1 79,33 79,33 79,33 79,33 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-12 1 1 78,87 78,87 78,87 78,87 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-13 1 1 79,02 79,02 79,02 79,02 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-14 1 1 79,23 79,23 79,23 79,23 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-17 1 1 79,65 79,65 79,65 79,65 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-18 1 1 79,42 79,42 79,42 79,42 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-19 1 1 79,89 79,89 79,89 79,89 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-20 1 1 79,27 79,27 79,27 79,27 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-21 1 1 79,19 79,19 79,19 79,19 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-24 1 1 78,86 78,86 78,86 78,86 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-25 1 1 79,37 79,37 79,37 79,37 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-26 1 1 79,46 79,46 79,46 79,46 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-27 1 1 79,55 79,55 79,55 79,55 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-28 1 1 79,65 79,65 79,65 79,65 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-01-31 1 1 80,07 80,07 80,07 80,07 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-01 1 1 80,19 80,19 80,19 80,19 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-02 1 1 80,53 80,53 80,53 80,53 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-03 1 1 80,6 80,6 80,6 80,6 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-04 1 1 80,97 80,97 80,97 80,97 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-07 1 1 81,77 81,77 81,77 81,77 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-08 1 1 81,93 81,93 81,93 81,93 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-09 1 1 81,92 81,92 81,92 81,92 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-10 1 1 81,52 81,52 81,52 81,52 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-11 1 1 81,69 81,69 81,69 81,69 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-14 1 1 82 82 82 82 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-15 1 1 82,1 82,1 82,1 82,1 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-16 1 1 81,78 81,78 81,78 81,78 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-17 1 1 81,94 81,94 81,94 81,94 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-18 1 1 81,55 81,55 81,55 81,55 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-21 1 1 81,67 81,67 81,67 81,67 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-22 1 1 80,97 80,97 80,97 80,97 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-23 1 1 80,65 80,65 80,65 80,65 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-24 1 1 80,73 80,73 80,73 80,73 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-25 1 1 81,26 81,26 81,26 81,26 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-02-28 1 1 81,48 81,48 81,48 81,48 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-01 1 1 81,62 81,62 81,62 81,62 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-02 1 1 81,81 81,81 81,81 81,81 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-03 1 1 82,16 82,16 82,16 82,16 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-04 1 1 82,27 82,27 82,27 82,27 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-07 1 1 82,5 82,5 82,5 82,5 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-08 1 1 82,14 82,14 82,14 82,14 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-09 1 1 81,8 81,8 81,8 81,8 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-10 1 1 81,46 81,46 81,46 81,46 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-11 1 1 81,61 81,61 81,61 81,61 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-14 1 1 81,33 81,33 81,33 81,33 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-15 1 1 81,84 81,84 81,84 81,84 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-16 1 1 81,05 81,05 81,05 81,05 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-17 1 1 80,8 80,8 80,8 80,8 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-18 1 1 81,14 81,14 81,14 81,14 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-21 1 1 81,18 81,18 81,18 81,18 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-22 1 1 81,14 81,14 81,14 81,14 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-23 1 1 80,82 80,82 80,82 80,82 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-24 1 1 81,24 81,24 81,24 81,24 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-29 1 1 81,33 81,33 81,33 81,33 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-30 1 1 80,8 80,8 80,8 80,8 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-03-31 1 1 81,37 81,37 81,37 81,37 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-01 1 1 81,81 81,81 81,81 81,81 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-04 1 1 81,49 81,49 81,49 81,49 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-05 1 1 82,14 82,14 82,14 82,14 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-06 1 1 82,3 82,3 82,3 82,3 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-07 1 1 82,32 82,32 82,32 82,32 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-08 1 1 82,89 82,89 82,89 82,89 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-11 1 1 82,37 82,37 82,37 82,37 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-12 1 1 82,16 82,16 82,16 82,16 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-13 1 1 82,55 82,55 82,55 82,55 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-14 1 1 82,51 82,51 82,51 82,51 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-15 1 1 81,44 81,44 81,44 81,44 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-18 1 1 80,26 80,26 80,26 80,26 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-19 1 1 80,75 80,75 80,75 80,75 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-20 1 1 80,6 80,6 80,6 80,6 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-21 1 1 80,63 80,63 80,63 80,63 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-22 1 1 81,17 81,17 81,17 81,17 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-25 1 1 81,28 81,28 81,28 81,28 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-26 1 1 81,19 81,19 81,19 81,19 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-27 1 1 80,24 80,24 80,24 80,24 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-28 1 1 80,35 80,35 80,35 80,35 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-04-29 1 1 80,67 80,67 80,67 80,67 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-02 1 1 81,31 81,31 81,31 81,31 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-03 1 1 81,31 81,31 81,31 81,31 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-04 1 1 81,17 81,17 81,17 81,17 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-06 1 1 82,08 82,08 82,08 82,08 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-09 1 1 82,04 82,04 82,04 82,04 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-10 1 1 81,95 81,95 81,95 81,95 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-11 1 1 81,97 81,97 81,97 81,97 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-12 1 1 82,38 82,38 82,38 82,38 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-13 1 1 82,1 82,1 82,1 82,1 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-16 1 1 82,14 82,14 82,14 82,14 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-17 1 1 82,36 82,36 82,36 82,36 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-18 1 1 83,02 83,02 83,02 83,02 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-19 1 1 83,6 83,6 83,6 83,6 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-20 1 1 83,58 83,58 83,58 83,58 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-23 1 1 83,76 83,76 83,76 83,76 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-24 1 1 83,81 83,81 83,81 83,81 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-25 1 1 83,76 83,76 83,76 83,76 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-26 1 1 84,15 84,15 84,15 84,15 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-27 1 1 84,27 84,27 84,27 84,27 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-30 1 1 84,62 84,62 84,62 84,62 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-05-31 1 1 84,73 84,73 84,73 84,73 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-01 1 1 84,99 84,99 84,99 84,99 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-02 1 1 85,2 85,2 85,2 85,2 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-03 1 1 85,15 85,15 85,15 85,15 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-07 1 1 85,42 85,42 85,42 85,42 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-08 1 1 85,65 85,65 85,65 85,65 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-09 1 1 85,6 85,6 85,6 85,6 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-10 1 1 86,29 86,29 86,29 86,29 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-13 1 1 86,53 86,53 86,53 86,53 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-14 1 1 86,9 86,9 86,9 86,9 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-15 1 1 87,01 87,01 87,01 87,01 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-16 1 1 86,97 86,97 86,97 86,97 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-17 1 1 86,96 86,96 86,96 86,96 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-20 1 1 87,04 87,04 87,04 87,04 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-21 1 1 87,41 87,41 87,41 87,41 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-22 1 1 87,96 87,96 87,96 87,96 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-23 1 1 88,49 88,49 88,49 88,49 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-27 1 1 87,08 87,08 87,08 87,08 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-28 1 1 87,7 87,7 87,7 87,7 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-29 1 1 88,28 88,28 88,28 88,28 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-06-30 1 1 88,39 88,39 88,39 88,39 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-01 1 1 88,54 88,54 88,54 88,54 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-04 1 1 88,84 88,84 88,84 88,84 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-05 1 1 88,47 88,47 88,47 88,47 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-06 1 1 88,88 88,88 88,88 88,88 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-07 1 1 87,83 87,83 87,83 87,83 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-08 1 1 88,65 88,65 88,65 88,65 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-11 1 1 89,64 89,64 89,64 89,64 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-12 1 1 89,32 89,32 89,32 89,32 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-13 1 1 89,57 89,57 89,57 89,57 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-14 1 1 90,02 90,02 90,02 90,02 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-15 1 1 89,9 89,9 89,9 89,9 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-18 1 1 89,83 89,83 89,83 89,83 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-19 1 1 90,25 90,25 90,25 90,25 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-20 1 1 90,17 90,17 90,17 90,17 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-21 1 1 90,57 90,57 90,57 90,57 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-22 1 1 90,38 90,38 90,38 90,38 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-25 1 1 90,41 90,41 90,41 90,41 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-26 1 1 90,62 90,62 90,62 90,62 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-27 1 1 90,8 90,8 90,8 90,8 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-28 1 1 91,1 91,1 91,1 91,1 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-07-29 1 1 91,25 91,25 91,25 91,25 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-01 1 1 90,89 90,89 90,89 90,89 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-02 1 1 91,07 91,07 91,07 91,07 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-03 1 1 90,94 90,94 90,94 90,94 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-04 1 1 90,42 90,42 90,42 90,42 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-05 1 1 90,09 90,09 90,09 90,09 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-08 1 1 90,05 90,05 90,05 90,05 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-09 1 1 90,19 90,19 90,19 90,19 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-10 1 1 90,85 90,85 90,85 90,85 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-11 1 1 90,5 90,5 90,5 90,5 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-12 1 1 90,46 90,46 90,46 90,46 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-15 1 1 90,41 90,41 90,41 90,41 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-16 1 1 90,79 90,79 90,79 90,79 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-17 1 1 90,32 90,32 90,32 90,32 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-18 1 1 90,4 90,4 90,4 90,4 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-19 1 1 91 91 91 91 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-22 1 1 91,2 91,2 91,2 91,2 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-23 1 1 90,74 90,74 90,74 90,74 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-24 1 1 90,15 90,15 90,15 90,15 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-25 1 1 89,68 89,68 89,68 89,68 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-26 1 1 89,33 89,33 89,33 89,33 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-29 1 1 89,22 89,22 89,22 89,22 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-30 1 1 89,75 89,75 89,75 89,75 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-08-31 1 1 89,74 89,74 89,74 89,74 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-01 1 1 90,18 90,18 90,18 90,18 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-02 1 1 89,88 89,88 89,88 89,88 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-05 1 1 90,2 90,2 90,2 90,2 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-06 1 1 90,55 90,55 90,55 90,55 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-07 1 1 90,96 90,96 90,96 90,96 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-08 1 1 91,08 91,08 91,08 91,08 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-09 1 1 91,38 91,38 91,38 91,38 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-12 1 1 91,9 91,9 91,9 91,9 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-13 1 1 91,79 91,79 91,79 91,79 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-14 1 1 91,76 91,76 91,76 91,76 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-15 1 1 91,94 91,94 91,94 91,94 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-16 1 1 92,13 92,13 92,13 92,13 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-19 1 1 92,47 92,47 92,47 92,47 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-20 1 1 92,57 92,57 92,57 92,57 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-21 1 1 91,79 91,79 91,79 91,79 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-22 1 1 91,49 91,49 91,49 91,49 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-23 1 1 91,9 91,9 91,9 91,9 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-26 1 1 92,8 92,8 92,8 92,8 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-27 1 1 92,94 92,94 92,94 92,94 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-28 1 1 93,36 93,36 93,36 93,36 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-29 1 1 93,12 93,12 93,12 93,12 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-09-30 1 1 93,5 93,5 93,5 93,5 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-03 1 1 94,23 94,23 94,23 94,23 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-04 1 1 94,09 94,09 94,09 94,09 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-05 1 1 93,34 93,34 93,34 93,34 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-06 1 1 91,84 91,84 91,84 91,84 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-07 1 1 91,86 91,86 91,86 91,86 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-10 1 1 92,06 92,06 92,06 92,06 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-11 1 1 92,3 92,3 92,3 92,3 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-12 1 1 91,92 91,92 91,92 91,92 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-13 1 1 91,2 91,2 91,2 91,2 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-14 1 1 91,36 91,36 91,36 91,36 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-17 1 1 91,64 91,64 91,64 91,64 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-18 1 1 91,57 91,57 91,57 91,57 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-19 1 1 90,48 90,48 90,48 90,48 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-20 1 1 91,44 91,44 91,44 91,44 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-21 1 1 90,74 90,74 90,74 90,74 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-24 1 1 91,49 91,49 91,49 91,49 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-25 1 1 91,68 91,68 91,68 91,68 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-26 1 1 91,7 91,7 91,7 91,7 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-27 1 1 91,19 91,19 91,19 91,19 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-28 1 1 90,98 90,98 90,98 90,98 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-10-31 1 1 92,69 92,69 92,69 92,69 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-01 1 1 93,15 93,15 93,15 93,15 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-02 1 1 93,35 93,35 93,35 93,35 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-03 1 1 94,5 94,5 94,5 94,5 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-04 1 1 94,62 94,62 94,62 94,62 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-07 1 1 95,02 95,02 95,02 95,02 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-08 1 1 94,78 94,78 94,78 94,78 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-09 1 1 95,05 95,05 95,05 95,05 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-10 1 1 95,44 95,44 95,44 95,44 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-11 1 1 95,96 95,96 95,96 95,96 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-14 1 1 96,21 96,21 96,21 96,21 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-15 1 1 96 96 96 96 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-16 1 1 96,13 96,13 96,13 96,13 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-17 1 1 96,47 96,47 96,47 96,47 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-18 1 1 97,05 97,05 97,05 97,05 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-21 1 1 96,79 96,79 96,79 96,79 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-22 1 1 97,05 97,05 97,05 97,05 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-23 1 1 97,11 97,11 97,11 97,11 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-24 1 1 97,2 97,2 97,2 97,2 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-25 1 1 97,41 97,41 97,41 97,41 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-28 1 1 97,32 97,32 97,32 97,32 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-29 1 1 97,5 97,5 97,5 97,5 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-11-30 1 1 97,06 97,06 97,06 97,06 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-01 1 1 97,69 97,69 97,69 97,69 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-02 1 1 98,03 98,03 98,03 98,03 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-05 1 1 97,89 97,89 97,89 97,89 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-06 1 1 97,88 97,88 97,88 97,88 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-07 1 1 98,11 98,11 98,11 98,11 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-08 1 1 97,6 97,6 97,6 97,6 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-12 1 1 98,01 98,01 98,01 98,01 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-13 1 1 97,99 97,99 97,99 97,99 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-14 1 1 97,93 97,93 97,93 97,93 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-15 1 1 97,96 97,96 97,96 97,96 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-16 1 1 98,24 98,24 98,24 98,24 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-19 1 1 98,12 98,12 98,12 98,12 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-20 1 1 98,09 98,09 98,09 98,09 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-21 1 1 98,89 98,89 98,89 98,89 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-22 1 1 98,93 98,93 98,93 98,93 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-23 1 1 99,31 99,31 99,31 99,31 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-27 1 1 99,6 99,6 99,6 99,6 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-28 1 1 99,02 99,02 99,02 99,02 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-29 1 1 99,38 99,38 99,38 99,38 110924 Sjunde AP-fonden Premiesparfonden SEK 2005-12-30 1 1 98,86 98,86 98,86 98,86 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-03 1 1 71 71 71 71 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-04 1 1 71,35 71,35 71,35 71,35 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-05 1 1 70,77 70,77 70,77 70,77 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-07 1 1 71,08 71,08 71,08 71,08 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-10 1 1 71,28 71,28 71,28 71,28 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-11 1 1 70,88 70,88 70,88 70,88 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-12 1 1 70,43 70,43 70,43 70,43 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-13 1 1 70,53 70,53 70,53 70,53 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-14 1 1 70,75 70,75 70,75 70,75 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-17 1 1 71,15 71,15 71,15 71,15 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-18 1 1 70,92 70,92 70,92 70,92 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-19 1 1 71,38 71,38 71,38 71,38 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-20 1 1 70,77 70,77 70,77 70,77 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-21 1 1 70,7 70,7 70,7 70,7 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-24 1 1 70,36 70,36 70,36 70,36 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-25 1 1 70,86 70,86 70,86 70,86 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-26 1 1 70,97 70,97 70,97 70,97 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-27 1 1 71,09 71,09 71,09 71,09 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-28 1 1 71,2 71,2 71,2 71,2 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-01-31 1 1 71,6 71,6 71,6 71,6 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-01 1 1 71,72 71,72 71,72 71,72 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-02 1 1 72,04 72,04 72,04 72,04 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-03 1 1 72,12 72,12 72,12 72,12 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-04 1 1 72,46 72,46 72,46 72,46 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-07 1 1 73,22 73,22 73,22 73,22 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-08 1 1 73,38 73,38 73,38 73,38 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-09 1 1 73,38 73,38 73,38 73,38 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-10 1 1 72,98 72,98 72,98 72,98 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-11 1 1 73,15 73,15 73,15 73,15 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-14 1 1 73,48 73,48 73,48 73,48 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-15 1 1 73,58 73,58 73,58 73,58 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-16 1 1 73,25 73,25 73,25 73,25 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-17 1 1 73,44 73,44 73,44 73,44 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-18 1 1 73,08 73,08 73,08 73,08 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-21 1 1 73,21 73,21 73,21 73,21 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-22 1 1 72,51 72,51 72,51 72,51 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-23 1 1 72,22 72,22 72,22 72,22 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-24 1 1 72,32 72,32 72,32 72,32 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-25 1 1 72,82 72,82 72,82 72,82 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-02-28 1 1 73,03 73,03 73,03 73,03 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-01 1 1 73,18 73,18 73,18 73,18 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-02 1 1 73,38 73,38 73,38 73,38 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-03 1 1 73,74 73,74 73,74 73,74 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-04 1 1 73,83 73,83 73,83 73,83 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-07 1 1 74,01 74,01 74,01 74,01 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-08 1 1 73,66 73,66 73,66 73,66 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-09 1 1 73,36 73,36 73,36 73,36 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-10 1 1 73,02 73,02 73,02 73,02 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-11 1 1 73,17 73,17 73,17 73,17 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-14 1 1 72,91 72,91 72,91 72,91 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-15 1 1 73,4 73,4 73,4 73,4 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-16 1 1 72,63 72,63 72,63 72,63 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-17 1 1 72,37 72,37 72,37 72,37 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-18 1 1 72,7 72,7 72,7 72,7 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-21 1 1 72,74 72,74 72,74 72,74 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-22 1 1 72,7 72,7 72,7 72,7 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-23 1 1 72,39 72,39 72,39 72,39 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-24 1 1 72,79 72,79 72,79 72,79 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-29 1 1 72,84 72,84 72,84 72,84 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-30 1 1 72,34 72,34 72,34 72,34 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-03-31 1 1 72,87 72,87 72,87 72,87 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-01 1 1 73,3 73,3 73,3 73,3 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-04 1 1 72,97 72,97 72,97 72,97 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-05 1 1 73,61 73,61 73,61 73,61 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-06 1 1 73,78 73,78 73,78 73,78 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-07 1 1 73,77 73,77 73,77 73,77 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-08 1 1 74,34 74,34 74,34 74,34 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-11 1 1 73,84 73,84 73,84 73,84 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-12 1 1 73,64 73,64 73,64 73,64 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-13 1 1 74,05 74,05 74,05 74,05 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-14 1 1 74,02 74,02 74,02 74,02 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-15 1 1 72,95 72,95 72,95 72,95 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-18 1 1 71,73 71,73 71,73 71,73 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-19 1 1 72,22 72,22 72,22 72,22 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-20 1 1 72,07 72,07 72,07 72,07 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-21 1 1 72,09 72,09 72,09 72,09 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-22 1 1 72,63 72,63 72,63 72,63 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-25 1 1 72,72 72,72 72,72 72,72 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-26 1 1 72,58 72,58 72,58 72,58 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-27 1 1 71,63 71,63 71,63 71,63 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-28 1 1 71,74 71,74 71,74 71,74 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-04-29 1 1 72,08 72,08 72,08 72,08 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-02 1 1 72,67 72,67 72,67 72,67 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-03 1 1 72,69 72,69 72,69 72,69 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-04 1 1 72,58 72,58 72,58 72,58 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-06 1 1 73,5 73,5 73,5 73,5 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-09 1 1 73,45 73,45 73,45 73,45 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-10 1 1 73,33 73,33 73,33 73,33 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-11 1 1 73,36 73,36 73,36 73,36 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-12 1 1 73,78 73,78 73,78 73,78 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-13 1 1 73,51 73,51 73,51 73,51 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-16 1 1 73,57 73,57 73,57 73,57 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-17 1 1 73,78 73,78 73,78 73,78 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-18 1 1 74,42 74,42 74,42 74,42 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-19 1 1 75,01 75,01 75,01 75,01 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-20 1 1 75,02 75,02 75,02 75,02 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-23 1 1 75,2 75,2 75,2 75,2 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-24 1 1 75,25 75,25 75,25 75,25 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-25 1 1 75,23 75,23 75,23 75,23 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-26 1 1 75,65 75,65 75,65 75,65 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-27 1 1 75,77 75,77 75,77 75,77 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-30 1 1 76,13 76,13 76,13 76,13 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-05-31 1 1 76,25 76,25 76,25 76,25 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-01 1 1 76,5 76,5 76,5 76,5 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-02 1 1 76,7 76,7 76,7 76,7 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-03 1 1 76,64 76,64 76,64 76,64 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-07 1 1 76,96 76,96 76,96 76,96 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-08 1 1 77,16 77,16 77,16 77,16 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-09 1 1 77,1 77,1 77,1 77,1 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-10 1 1 77,78 77,78 77,78 77,78 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-13 1 1 78,02 78,02 78,02 78,02 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-14 1 1 78,42 78,42 78,42 78,42 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-15 1 1 78,54 78,54 78,54 78,54 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-16 1 1 78,51 78,51 78,51 78,51 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-17 1 1 78,65 78,65 78,65 78,65 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-20 1 1 78,57 78,57 78,57 78,57 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-21 1 1 78,91 78,91 78,91 78,91 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-22 1 1 79,42 79,42 79,42 79,42 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-23 1 1 79,93 79,93 79,93 79,93 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-27 1 1 78,53 78,53 78,53 78,53 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-28 1 1 79,13 79,13 79,13 79,13 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-29 1 1 79,7 79,7 79,7 79,7 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-06-30 1 1 79,81 79,81 79,81 79,81 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-01 1 1 79,96 79,96 79,96 79,96 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-04 1 1 80,26 80,26 80,26 80,26 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-05 1 1 79,91 79,91 79,91 79,91 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-06 1 1 80,31 80,31 80,31 80,31 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-07 1 1 79,24 79,24 79,24 79,24 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-08 1 1 80,07 80,07 80,07 80,07 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-11 1 1 81,04 81,04 81,04 81,04 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-12 1 1 80,72 80,72 80,72 80,72 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-13 1 1 80,97 80,97 80,97 80,97 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-14 1 1 81,39 81,39 81,39 81,39 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-15 1 1 81,27 81,27 81,27 81,27 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-18 1 1 81,21 81,21 81,21 81,21 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-19 1 1 81,61 81,61 81,61 81,61 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-20 1 1 81,52 81,52 81,52 81,52 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-21 1 1 81,89 81,89 81,89 81,89 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-22 1 1 81,7 81,7 81,7 81,7 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-25 1 1 81,72 81,72 81,72 81,72 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-26 1 1 81,97 81,97 81,97 81,97 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-27 1 1 82,13 82,13 82,13 82,13 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-28 1 1 82,45 82,45 82,45 82,45 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-07-29 1 1 82,54 82,54 82,54 82,54 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-01 1 1 82,25 82,25 82,25 82,25 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-02 1 1 82,42 82,42 82,42 82,42 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-03 1 1 82,3 82,3 82,3 82,3 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-04 1 1 81,79 81,79 81,79 81,79 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-05 1 1 81,49 81,49 81,49 81,49 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-08 1 1 81,45 81,45 81,45 81,45 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-09 1 1 81,61 81,61 81,61 81,61 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-10 1 1 82,23 82,23 82,23 82,23 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-11 1 1 81,89 81,89 81,89 81,89 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-12 1 1 81,87 81,87 81,87 81,87 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-15 1 1 81,82 81,82 81,82 81,82 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-16 1 1 82,18 82,18 82,18 82,18 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-17 1 1 81,72 81,72 81,72 81,72 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-18 1 1 81,8 81,8 81,8 81,8 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-19 1 1 82,39 82,39 82,39 82,39 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-22 1 1 82,57 82,57 82,57 82,57 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-23 1 1 82,13 82,13 82,13 82,13 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-24 1 1 81,53 81,53 81,53 81,53 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-25 1 1 81,05 81,05 81,05 81,05 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-26 1 1 80,7 80,7 80,7 80,7 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-29 1 1 80,61 80,61 80,61 80,61 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-30 1 1 81,12 81,12 81,12 81,12 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-08-31 1 1 81,11 81,11 81,11 81,11 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-01 1 1 81,53 81,53 81,53 81,53 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-02 1 1 81,23 81,23 81,23 81,23 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-05 1 1 81,55 81,55 81,55 81,55 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-06 1 1 81,91 81,91 81,91 81,91 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-07 1 1 82,3 82,3 82,3 82,3 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-08 1 1 82,4 82,4 82,4 82,4 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-09 1 1 82,66 82,66 82,66 82,66 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-12 1 1 83,19 83,19 83,19 83,19 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-13 1 1 83,09 83,09 83,09 83,09 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-14 1 1 83,07 83,07 83,07 83,07 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-15 1 1 83,23 83,23 83,23 83,23 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-16 1 1 83,42 83,42 83,42 83,42 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-19 1 1 83,77 83,77 83,77 83,77 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-20 1 1 83,84 83,84 83,84 83,84 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-21 1 1 83,07 83,07 83,07 83,07 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-22 1 1 82,77 82,77 82,77 82,77 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-23 1 1 83,17 83,17 83,17 83,17 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-26 1 1 84,06 84,06 84,06 84,06 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-27 1 1 84,23 84,23 84,23 84,23 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-28 1 1 84,66 84,66 84,66 84,66 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-29 1 1 84,45 84,45 84,45 84,45 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-09-30 1 1 84,83 84,83 84,83 84,83 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-03 1 1 85,53 85,53 85,53 85,53 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-04 1 1 85,4 85,4 85,4 85,4 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-05 1 1 84,65 84,65 84,65 84,65 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-06 1 1 83,21 83,21 83,21 83,21 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-07 1 1 83,21 83,21 83,21 83,21 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-10 1 1 83,42 83,42 83,42 83,42 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-11 1 1 83,66 83,66 83,66 83,66 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-12 1 1 83,3 83,3 83,3 83,3 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-13 1 1 82,6 82,6 82,6 82,6 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-14 1 1 82,75 82,75 82,75 82,75 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-17 1 1 83 83 83 83 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-18 1 1 82,93 82,93 82,93 82,93 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-19 1 1 81,85 81,85 81,85 81,85 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-20 1 1 82,81 82,81 82,81 82,81 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-21 1 1 82,15 82,15 82,15 82,15 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-24 1 1 82,87 82,87 82,87 82,87 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-25 1 1 83,06 83,06 83,06 83,06 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-26 1 1 83,08 83,08 83,08 83,08 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-27 1 1 82,6 82,6 82,6 82,6 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-28 1 1 82,38 82,38 82,38 82,38 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-10-31 1 1 84,09 84,09 84,09 84,09 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-01 1 1 84,54 84,54 84,54 84,54 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-02 1 1 84,74 84,74 84,74 84,74 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-03 1 1 85,89 85,89 85,89 85,89 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-04 1 1 86,01 86,01 86,01 86,01 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-07 1 1 86,41 86,41 86,41 86,41 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-08 1 1 86,18 86,18 86,18 86,18 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-09 1 1 86,44 86,44 86,44 86,44 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-10 1 1 86,85 86,85 86,85 86,85 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-11 1 1 87,36 87,36 87,36 87,36 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-14 1 1 87,63 87,63 87,63 87,63 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-15 1 1 87,42 87,42 87,42 87,42 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-16 1 1 87,53 87,53 87,53 87,53 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-17 1 1 87,85 87,85 87,85 87,85 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-18 1 1 88,44 88,44 88,44 88,44 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-21 1 1 88,19 88,19 88,19 88,19 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-22 1 1 88,43 88,43 88,43 88,43 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-23 1 1 88,48 88,48 88,48 88,48 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-24 1 1 88,53 88,53 88,53 88,53 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-25 1 1 88,74 88,74 88,74 88,74 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-28 1 1 88,64 88,64 88,64 88,64 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-29 1 1 88,82 88,82 88,82 88,82 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-11-30 1 1 88,4 88,4 88,4 88,4 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-01 1 1 89,01 89,01 89,01 89,01 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-02 1 1 89,38 89,38 89,38 89,38 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-05 1 1 89,25 89,25 89,25 89,25 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-06 1 1 89,25 89,25 89,25 89,25 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-07 1 1 89,48 89,48 89,48 89,48 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-08 1 1 89,01 89,01 89,01 89,01 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-12 1 1 89,43 89,43 89,43 89,43 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-13 1 1 89,41 89,41 89,41 89,41 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-14 1 1 89,33 89,33 89,33 89,33 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-15 1 1 89,34 89,34 89,34 89,34 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-16 1 1 89,6 89,6 89,6 89,6 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-19 1 1 89,49 89,49 89,49 89,49 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-20 1 1 89,47 89,47 89,47 89,47 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-21 1 1 90,24 90,24 90,24 90,24 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-22 1 1 90,28 90,28 90,28 90,28 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-23 1 1 90,65 90,65 90,65 90,65 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-27 1 1 90,91 90,91 90,91 90,91 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-28 1 1 90,34 90,34 90,34 90,34 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-29 1 1 90,71 90,71 90,71 90,71 146753 Sjunde AP-fonden Premievalsfonden SEK 2005-12-30 1 1 90,17 90,17 90,17 90,17 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-03 6,668 6,658 1,96 1,96 13,06928 13,04968 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-04 6,728 6,718 1,94 1,94 13,05232 13,03292 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-05 6,828 6,818 1,9 1,9 12,9732 12,9542 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-07 6,87 6,86 1,89 1,89 12,9843 12,9654 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-10 6,96091 6,95091 1,89 1,89 13,1561199 13,1372199 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-11 6,96091 6,95091 1,89 1,89 13,1561199 13,1372199 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-12 6,913 6,903 1,89 1,89 13,06557 13,04667 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-13 6,843 6,833 1,9 1,9 13,0017 12,9827 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-14 6,915 6,905 1,9 1,9 13,1385 13,1195 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-17 6,915 6,905 1,91 1,91 13,20765 13,18855 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-18 6,968 6,958 1,9 1,9 13,2392 13,2202 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-19 6,91 6,9 1,92 1,92 13,2672 13,248 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-20 6,96 6,95 1,9 1,9 13,224 13,205 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-21 6,978 6,968 1,89 1,89 13,18842 13,16952 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-24 6,933 6,923 1,89 1,89 13,10337 13,08447 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-25 6,95 6,94 1,89 1,89 13,1355 13,1166 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-26 6,995 6,985 1,88 1,88 13,1506 13,1318 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-27 6,93 6,92 1,88 1,88 13,0284 13,0096 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-28 6,985 6,975 1,89 1,89 13,20165 13,18275 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-01-31 6,998 6,988 1,9 1,9 13,2962 13,2772 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-01 6,993 6,983 1,91 1,91 13,35663 13,33753 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-02 6,953 6,943 1,93 1,93 13,41929 13,39999 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-03 6,968 6,958 1,91 1,91 13,30888 13,28978 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-04 7,01 7 1,92 1,92 13,4592 13,44 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-07 7,065 7,055 1,95 1,95 13,77675 13,75725 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-08 7,123 7,113 1,95 1,95 13,88985 13,87035 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-09 7,1 7,09 1,95 1,95 13,845 13,8255 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-10 7,088 7,078 1,95 1,95 13,8216 13,8021 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-11 7,068 7,058 1,95 1,95 13,7826 13,7631 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-14 7,03 7,02 1,97 1,97 13,8491 13,8294 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-15 7,005 6,995 1,98 1,98 13,8699 13,8501 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-16 6,973 6,963 1,98 1,98 13,80654 13,78674 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-17 6,97 6,96 1,97 1,97 13,7309 13,7112 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-18 6,965 6,955 1,97 1,97 13,72105 13,70135 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-21 6,978 6,968 1,96 1,96 13,67688 13,65728 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-22 6,905 6,895 1,96 1,96 13,5338 13,5142 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-23 6,895 6,885 1,95 1,95 13,44525 13,42575 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-24 6,858 6,848 1,96 1,96 13,44168 13,42208 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-25 6,885 6,875 1,97 1,97 13,56345 13,54375 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-02-28 6,828 6,818 1,99 1,99 13,58772 13,56782 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-01 6,87 6,86 1,99 1,99 13,6713 13,6514 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-02 6,888 6,878 1,98 1,98 13,63824 13,61844 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-03 6,903 6,893 1,99 1,99 13,73697 13,71707 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-04 6,9 6,89 2 2 13,8 13,78 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-07 6,84 6,83 2 2 13,68 13,66 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-08 6,825 6,815 2,01 2,01 13,71825 13,69815 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-09 6,76 6,75 2 2 13,52 13,5 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-10 6,745 6,735 2,01 2,01 13,55745 13,53735 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-11 6,765 6,755 2,01 2,01 13,59765 13,57755 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-14 6,76 6,75 2 2 13,52 13,5 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-15 6,815 6,805 2,01 2,01 13,69815 13,67805 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-16 6,81 6,8 2 2 13,62 13,6 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-17 6,795 6,785 1,98 1,98 13,4541 13,4343 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-18 6,828 6,818 1,98 1,98 13,51944 13,49964 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-21 6,908 6,898 1,97 1,97 13,60876 13,58906 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-22 6,928 6,918 1,96 1,96 13,57888 13,55928 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-23 6,973 6,963 1,94 1,94 13,52762 13,50822 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-24 7,008 6,998 1,96 1,96 13,73568 13,71608 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-29 7,055 7,045 1,93 1,93 13,61615 13,59685 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-30 7,053 7,043 1,93 1,93 13,61229 13,59299 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-03-31 7,065 7,055 1,95 1,95 13,77675 13,75725 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-01 7,07 7,06 1,94 1,94 13,7158 13,6964 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-04 7,113 7,103 1,93 1,93 13,72809 13,70879 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-05 7,163 7,153 1,93 1,93 13,82459 13,80529 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-06 7,125 7,115 1,95 1,95 13,89375 13,87425 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-07 7,083 7,073 1,97 1,97 13,95351 13,93381 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-08 7,153 7,143 1,96 1,96 14,01988 14,00028 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-11 7,098 7,088 1,97 1,97 13,98306 13,96336 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-12 7,048 7,038 1,97 1,97 13,88456 13,86486 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-13 7,075 7,065 1,95 1,95 13,79625 13,77675 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-14 7,12 7,11 1,93 1,93 13,7416 13,7223 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-15 7,17 7,16 1,9 1,9 13,623 13,604 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-18 7,08 7,07 1,86 1,86 13,1688 13,1502 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-19 7,068 7,058 1,88 1,88 13,28784 13,26904 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-20 7,043 7,033 1,88 1,88 13,24084 13,22204 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-21 7,025 7,015 1,91 1,91 13,41775 13,39865 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-22 7,023 7,013 1,91 1,91 13,41393 13,39483 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-25 7,04 7,03 1,91 1,91 13,4464 13,4273 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-26 7,035 7,025 1,9 1,9 13,3665 13,3475 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-27 7,085 7,075 1,88 1,88 13,3198 13,301 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-28 7,085 7,075 1,85 1,85 13,10725 13,08875 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-04-29 7,08 7,07 1,86 1,86 13,1688 13,1502 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-02 7,15 7,14 1,85 1,85 13,2275 13,209 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-03 7,178 7,168 1,87 1,87 13,42286 13,40416 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-04 7,11 7,1 1,9 1,9 13,509 13,49 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-06 7,085 7,075 1,91 1,91 13,53235 13,51325 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-09 7,168 7,158 1,91 1,91 13,69088 13,67178 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-10 7,178 7,168 1,89 1,89 13,56642 13,54752 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-11 7,15 7,14 1,89 1,89 13,5135 13,4946 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-12 7,243 7,233 1,87 1,87 13,54441 13,52571 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-13 7,265 7,255 1,88 1,88 13,6582 13,6394 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-17 7,313 7,303 1,88 1,88 13,74844 13,72964 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-18 7,3 7,29 1,89 1,89 13,797 13,7781 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-19 7,26 7,25 1,92 1,92 13,9392 13,92 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-20 7,28 7,27 1,91 1,91 13,9048 13,8857 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-23 7,32 7,31 1,91 1,91 13,9812 13,9621 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-24 7,295 7,285 1,92 1,92 14,0064 13,9872 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-25 7,298 7,288 1,91 1,91 13,93918 13,92008 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-26 7,33 7,32 1,93 1,93 14,1469 14,1276 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-27 7,338 7,328 1,92 1,92 14,08896 14,06976 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-30 7,338 7,328 1,92 1,92 14,08896 14,06976 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-05-31 7,403 7,393 1,9 1,9 14,0657 14,0467 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-01 7,428 7,418 1,91 1,91 14,18748 14,16838 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-02 7,473 7,463 1,91 1,91 14,27343 14,25433 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-03 7,438 7,428 1,9 1,9 14,1322 14,1132 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-07 7,448 7,438 1,9 1,9 14,1512 14,1322 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-08 7,435 7,425 1,91 1,91 14,20085 14,18175 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-09 7,523 7,513 1,91 1,91 14,36893 14,34983 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-10 7,525 7,515 1,91 1,91 14,37275 14,35365 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-13 7,643 7,633 1,91 1,91 14,59813 14,57903 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-14 7,663 7,653 1,91 1,91 14,63633 14,61723 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-15 7,693 7,683 1,91 1,91 14,69363 14,67453 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-16 7,678 7,668 1,92 1,92 14,74176 14,72256 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-17 7,643 7,633 1,93 1,93 14,75099 14,73169 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-20 7,543 7,533 1,95 1,95 14,70885 14,68935 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-21 7,648 7,638 1,94 1,94 14,83712 14,81772 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-22 7,608 7,598 1,95 1,95 14,8356 14,8161 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-27 7,73 7,72 1,92 1,92 14,8416 14,8224 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-28 7,76 7,75 1,94 1,94 15,0544 15,035 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-29 7,833 7,823 1,94 1,94 15,19602 15,17662 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-06-30 7,823 7,813 1,93 1,93 15,09839 15,07909 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-01 7,858 7,848 1,93 1,93 15,16594 15,14664 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-04 7,945 7,935 1,93 1,93 15,33385 15,31455 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-05 7,963 7,953 1,91 1,91 15,20933 15,19023 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-06 7,895 7,885 1,92 1,92 15,1584 15,1392 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-07 7,878 7,868 1,9 1,9 14,9682 14,9492 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-08 7,913 7,903 1,93 1,93 15,27209 15,25279 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-11 7,89 7,88 1,97 1,97 15,5433 15,5236 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-12 7,77 7,76 1,98 1,98 15,3846 15,3648 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-13 7,703 7,693 2 2 15,406 15,386 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-14 7,76 7,75 2 2 15,52 15,5 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-15 7,76 7,75 2,01 2,01 15,5976 15,5775 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-18 7,78 7,77 2 2 15,56 15,54 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-19 7,878 7,868 2,02 2,02 15,91356 15,89336 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-20 7,818 7,808 2,03 2,03 15,87054 15,85024 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-21 7,775 7,765 2,04 2,04 15,861 15,8406 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-22 7,758 7,748 2,04 2,04 15,82632 15,80592 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-25 7,838 7,828 2,02 2,02 15,83276 15,81256 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-26 7,818 7,808 2,02 2,02 15,79236 15,77216 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-27 7,905 7,895 2,02 2,02 15,9681 15,9479 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-28 7,848 7,838 2,03 2,03 15,93144 15,91114 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-07-29 7,748 7,738 2,05 2,05 15,8834 15,8629 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-01 7,72 7,71 2,05 2,05 15,826 15,8055 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-02 7,7 7,69 2,07 2,07 15,939 15,9183 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-03 7,685 7,675 2,07 2,07 15,90795 15,88725 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-04 7,618 7,608 2,08 2,08 15,84544 15,82464 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-05 7,548 7,538 2,07 2,07 15,62436 15,60366 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-08 7,558 7,548 2,07 2,07 15,64506 15,62436 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-09 7,548 7,538 2,07 2,07 15,62436 15,60366 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-10 7,558 7,548 2,08 2,08 15,72064 15,69984 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-11 7,523 7,513 2,08 2,08 15,64784 15,62704 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-12 7,46 7,45 2,08 2,08 15,5168 15,496 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-16 7,523 7,513 2,08 2,08 15,64784 15,62704 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-17 7,605 7,595 2,06 2,06 15,6663 15,6457 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-18 7,61 7,6 2,05 2,05 15,6005 15,58 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-19 7,698 7,688 2,04 2,04 15,70392 15,68352 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-22 7,69 7,68 2,05 2,05 15,7645 15,744 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-23 7,663 7,653 2,05 2,05 15,70915 15,68865 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-24 7,673 7,663 2,04 2,04 15,65292 15,63252 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-25 7,588 7,578 2,05 2,05 15,5554 15,5349 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-26 7,578 7,568 2,04 2,04 15,45912 15,43872 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-29 7,573 7,563 2,04 2,04 15,44892 15,42852 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-30 7,633 7,623 2,03 2,03 15,49499 15,47469 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-08-31 7,668 7,658 2,04 2,04 15,64272 15,62232 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-01 7,568 7,558 2,06 2,06 15,59008 15,56948 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-02 7,435 7,425 2,08 2,08 15,4648 15,444 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-05 7,41 7,4 2,09 2,09 15,4869 15,466 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-06 7,485 7,475 2,08 2,08 15,5688 15,548 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-07 7,43 7,42 2,09 2,09 15,5287 15,5078 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-08 7,498 7,488 2,09 2,09 15,67082 15,64992 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-09 7,523 7,513 2,09 2,09 15,72307 15,70217 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-12 7,555 7,545 2,09 2,09 15,78995 15,76905 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-13 7,57 7,56 2,08 2,08 15,7456 15,7248 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-14 7,61 7,6 2,07 2,07 15,7527 15,732 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-15 7,658 7,648 2,07 2,07 15,85206 15,83136 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-16 7,613 7,603 2,09 2,09 15,91117 15,89027 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-19 7,698 7,688 2,08 2,08 16,01184 15,99104 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-20 7,688 7,678 2,07 2,07 15,91416 15,89346 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-21 7,663 7,653 2,06 2,06 15,78578 15,76518 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-22 7,648 7,638 2,06 2,06 15,75488 15,73428 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-23 7,733 7,723 2,05 2,05 15,85265 15,83215 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-26 7,798 7,788 2,04 2,04 15,90792 15,88752 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-27 7,825 7,815 2,03 2,03 15,88475 15,86445 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-28 7,81 7,8 2,05 2,05 16,0105 15,99 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-29 7,785 7,775 2,06 2,06 16,0371 16,0165 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-09-30 7,785 7,775 2,07 2,07 16,11495 16,09425 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-03 7,783 7,773 2,08 2,08 16,18864 16,16784 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-04 7,82 7,81 2,09 2,09 16,3438 16,3229 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-05 7,795 7,785 2,08 2,08 16,2136 16,1928 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-06 7,713 7,703 2,07 2,07 15,96591 15,94521 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-07 7,683 7,673 2,09 2,09 16,05747 16,03657 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-10 7,698 7,688 2,07 2,07 15,93486 15,91416 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-11 7,77 7,76 2,06 2,06 16,0062 15,9856 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-12 7,805 7,795 2,04 2,04 15,9222 15,9018 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-13 7,83 7,82 2,02 2,02 15,8166 15,7964 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-14 7,833 7,823 2,02 2,02 15,82266 15,80246 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-17 7,835 7,825 2,04 2,04 15,9834 15,963 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-18 7,893 7,883 2 2 15,786 15,766 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-19 7,96 7,95 1,97 1,97 15,6812 15,6615 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-20 7,93 7,92 1,96 1,96 15,5428 15,5232 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-21 7,883 7,873 1,98 1,98 15,60834 15,58854 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-24 7,995 7,985 1,97 1,97 15,75015 15,73045 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-25 7,99 7,98 1,99 1,99 15,9001 15,8802 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-26 7,868 7,858 2,01 2,01 15,81468 15,79458 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-27 7,868 7,858 1,98 1,98 15,57864 15,55884 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-28 7,825 7,815 1,98 1,98 15,4935 15,4737 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-10-31 7,905 7,895 2 2 15,81 15,79 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-02 7,98 7,97 2 2 15,96 15,94 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-03 8,01 8 2,02 2,02 16,1802 16,16 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-04 8,028 8,018 2,01 2,01 16,13628 16,11618 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-07 8,135 8,125 1,99 1,99 16,18865 16,16875 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-08 8,17 8,16 2 2 16,34 16,32 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-09 8,12 8,11 2 2 16,24 16,22 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-10 8,173 8,163 1,99 1,99 16,26427 16,24437 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-11 8,235 8,225 1,99 1,99 16,38765 16,36775 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-14 8,133 8,123 2 2 16,266 16,246 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-15 8,185 8,175 1,98 1,98 16,2063 16,1865 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-16 8,21 8,2 1,97 1,97 16,1737 16,154 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-17 8,258 8,248 1,97 1,97 16,26826 16,24856 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-18 8,223 8,213 2 2 16,446 16,426 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-21 8,123 8,113 2 2 16,246 16,226 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-22 8,15 8,14 1,99 1,99 16,2185 16,1986 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-23 8,048 8,038 2,02 2,02 16,25696 16,23676 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-24 8,053 8,043 2,02 2,02 16,26706 16,24686 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-25 8,078 8,068 2,02 2,02 16,31756 16,29736 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-28 8,118 8,108 2,01 2,01 16,31718 16,29708 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-29 8,015 8,005 2,02 2,02 16,1903 16,1701 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-11-30 8,088 8,078 2,01 2,01 16,25688 16,23678 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-01 8,083 8,073 2,04 2,04 16,48932 16,46892 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-02 8,103 8,093 2,03 2,03 16,44909 16,42879 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-05 8,045 8,035 2,03 2,03 16,33135 16,31105 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-06 7,993 7,983 2,04 2,04 16,30572 16,28532 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-07 8,015 8,005 2,05 2,05 16,43075 16,41025 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-08 7,988 7,978 2,05 2,05 16,3754 16,3549 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-12 7,953 7,943 2,08 2,08 16,54224 16,52144 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-13 7,905 7,895 2,09 2,09 16,52145 16,50055 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-14 7,848 7,838 2,09 2,09 16,40232 16,38142 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-15 7,858 7,848 2,09 2,09 16,42322 16,40232 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-16 7,903 7,893 2,08 2,08 16,43824 16,41744 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-19 7,865 7,855 2,08 2,08 16,3592 16,3384 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-20 7,848 7,838 2,08 2,08 16,32384 16,30304 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-21 7,948 7,938 2,07 2,07 16,45236 16,43166 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-22 7,98 7,97 2,07 2,07 16,5186 16,4979 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-23 7,955 7,945 2,09 2,09 16,62595 16,60505 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-27 8,01 8 2,08 2,08 16,6608 16,64 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-28 7,915 7,905 2,08 2,08 16,4632 16,4424 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-29 7,938 7,928 2,09 2,09 16,59042 16,56952 667790 Quest Management N.V. Quest Management SICAV - Global Technology Fund USD 2005-12-30 7,958 7,948 2,09 2,09 16,63222 16,61132 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-03 1 1 10,27 10,27 10,27 10,27 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-04 1 1 10,35 10,35 10,35 10,35 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-05 1 1 10,26 10,26 10,26 10,26 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-07 1 1 10,32 10,32 10,32 10,32 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-10 1 1 10,4 10,4 10,4 10,4 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-11 1 1 10,32 10,32 10,32 10,32 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-12 1 1 10,22 10,22 10,22 10,22 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-13 1 1 10,22 10,22 10,22 10,22 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-14 1 1 10,27 10,27 10,27 10,27 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-17 1 1 10,34 10,34 10,34 10,34 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-18 1 1 10,29 10,29 10,29 10,29 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-19 1 1 10,37 10,37 10,37 10,37 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-20 1 1 10,28 10,28 10,28 10,28 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-21 1 1 10,25 10,25 10,25 10,25 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-24 1 1 10,18 10,18 10,18 10,18 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-25 1 1 10,27 10,27 10,27 10,27 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-26 1 1 10,29 10,29 10,29 10,29 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-27 1 1 10,31 10,31 10,31 10,31 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-28 1 1 10,32 10,32 10,32 10,32 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-01-31 1 1 10,38 10,38 10,38 10,38 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-01 1 1 10,4 10,4 10,4 10,4 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-02 1 1 10,46 10,46 10,46 10,46 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-03 1 1 10,47 10,47 10,47 10,47 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-04 1 1 10,53 10,53 10,53 10,53 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-07 1 1 10,67 10,67 10,67 10,67 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-08 1 1 10,7 10,7 10,7 10,7 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-09 1 1 10,69 10,69 10,69 10,69 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-10 1 1 10,61 10,61 10,61 10,61 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-11 1 1 10,65 10,65 10,65 10,65 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-14 1 1 10,68 10,68 10,68 10,68 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-15 1 1 10,72 10,72 10,72 10,72 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-16 1 1 10,64 10,64 10,64 10,64 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-17 1 1 10,68 10,68 10,68 10,68 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-18 1 1 10,61 10,61 10,61 10,61 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-21 1 1 10,64 10,64 10,64 10,64 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-22 1 1 10,54 10,54 10,54 10,54 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-23 1 1 10,51 10,51 10,51 10,51 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-24 1 1 10,52 10,52 10,52 10,52 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-25 1 1 10,61 10,61 10,61 10,61 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-02-28 1 1 10,61 10,61 10,61 10,61 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-01 1 1 10,64 10,64 10,64 10,64 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-02 1 1 10,67 10,67 10,67 10,67 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-03 1 1 10,73 10,73 10,73 10,73 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-04 1 1 10,75 10,75 10,75 10,75 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-07 1 1 10,76 10,76 10,76 10,76 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-08 1 1 10,69 10,69 10,69 10,69 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-09 1 1 10,65 10,65 10,65 10,65 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-10 1 1 10,57 10,57 10,57 10,57 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-11 1 1 10,58 10,58 10,58 10,58 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-14 1 1 10,58 10,58 10,58 10,58 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-15 1 1 10,67 10,67 10,67 10,67 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-16 1 1 10,54 10,54 10,54 10,54 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-17 1 1 10,52 10,52 10,52 10,52 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-18 1 1 10,57 10,57 10,57 10,57 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-21 1 1 10,56 10,56 10,56 10,56 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-22 1 1 10,58 10,58 10,58 10,58 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-23 1 1 10,54 10,54 10,54 10,54 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-24 1 1 10,61 10,61 10,61 10,61 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-29 1 1 10,62 10,62 10,62 10,62 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-30 1 1 10,57 10,57 10,57 10,57 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-03-31 1 1 10,65 10,65 10,65 10,65 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-01 1 1 10,7 10,7 10,7 10,7 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-04 1 1 10,67 10,67 10,67 10,67 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-05 1 1 10,77 10,77 10,77 10,77 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-06 1 1 10,83 10,83 10,83 10,83 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-07 1 1 10,83 10,83 10,83 10,83 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-08 1 1 10,91 10,91 10,91 10,91 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-11 1 1 10,86 10,86 10,86 10,86 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-12 1 1 10,84 10,84 10,84 10,84 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-13 1 1 10,91 10,91 10,91 10,91 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-14 1 1 10,92 10,92 10,92 10,92 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-15 1 1 10,75 10,75 10,75 10,75 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-18 1 1 10,58 10,58 10,58 10,58 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-19 1 1 10,63 10,63 10,63 10,63 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-20 1 1 10,62 10,62 10,62 10,62 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-21 1 1 10,59 10,59 10,59 10,59 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-22 1 1 10,69 10,69 10,69 10,69 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-25 1 1 10,72 10,72 10,72 10,72 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-26 1 1 10,66 10,66 10,66 10,66 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-27 1 1 10,49 10,49 10,49 10,49 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-28 1 1 10,5 10,5 10,5 10,5 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-04-29 1 1 10,49 10,49 10,49 10,49 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-02 1 1 10,63 10,63 10,63 10,63 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-03 1 1 10,62 10,62 10,62 10,62 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-04 1 1 10,62 10,62 10,62 10,62 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-06 1 1 10,77 10,77 10,77 10,77 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-09 1 1 10,76 10,76 10,76 10,76 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-10 1 1 10,73 10,73 10,73 10,73 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-11 1 1 10,73 10,73 10,73 10,73 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-12 1 1 10,82 10,82 10,82 10,82 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-13 1 1 10,8 10,8 10,8 10,8 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-16 1 1 10,82 10,82 10,82 10,82 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-17 1 1 10,83 10,83 10,83 10,83 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-18 1 1 10,94 10,94 10,94 10,94 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-19 1 1 11 11 11 11 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-20 1 1 11 11 11 11 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-23 1 1 11,02 11,02 11,02 11,02 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-24 1 1 11,03 11,03 11,03 11,03 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-25 1 1 11 11 11 11 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-26 1 1 11,11 11,11 11,11 11,11 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-27 1 1 11,12 11,12 11,12 11,12 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-30 1 1 11,17 11,17 11,17 11,17 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-05-31 1 1 11,19 11,19 11,19 11,19 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-01 1 1 11,26 11,26 11,26 11,26 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-02 1 1 11,22 11,22 11,22 11,22 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-03 1 1 11,2 11,2 11,2 11,2 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-07 1 1 11,28 11,28 11,28 11,28 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-08 1 1 11,29 11,29 11,29 11,29 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-09 1 1 11,31 11,31 11,31 11,31 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-10 1 1 11,4 11,4 11,4 11,4 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-13 1 1 11,48 11,48 11,48 11,48 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-14 1 1 11,54 11,54 11,54 11,54 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-15 1 1 11,52 11,52 11,52 11,52 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-16 1 1 11,57 11,57 11,57 11,57 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-17 1 1 11,56 11,56 11,56 11,56 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-20 1 1 11,56 11,56 11,56 11,56 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-21 1 1 11,63 11,63 11,63 11,63 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-22 1 1 11,7 11,7 11,7 11,7 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-23 1 1 11,8 11,8 11,8 11,8 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-27 1 1 11,57 11,57 11,57 11,57 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-28 1 1 11,69 11,69 11,69 11,69 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-29 1 1 11,79 11,79 11,79 11,79 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-06-30 1 1 11,79 11,79 11,79 11,79 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-01 1 1 11,86 11,86 11,86 11,86 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-04 1 1 11,91 11,91 11,91 11,91 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-05 1 1 11,88 11,88 11,88 11,88 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-06 1 1 11,88 11,88 11,88 11,88 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-07 1 1 11,72 11,72 11,72 11,72 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-08 1 1 11,88 11,88 11,88 11,88 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-11 1 1 12,02 12,02 12,02 12,02 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-12 1 1 11,95 11,95 11,95 11,95 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-13 1 1 11,99 11,99 11,99 11,99 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-14 1 1 12,06 12,06 12,06 12,06 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-15 1 1 12,04 12,04 12,04 12,04 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-18 1 1 12,05 12,05 12,05 12,05 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-19 1 1 12,1 12,1 12,1 12,1 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-20 1 1 12,06 12,06 12,06 12,06 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-21 1 1 12,09 12,09 12,09 12,09 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-22 1 1 12,1 12,1 12,1 12,1 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-25 1 1 12,11 12,11 12,11 12,11 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-26 1 1 12,17 12,17 12,17 12,17 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-27 1 1 12,18 12,18 12,18 12,18 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-28 1 1 12,2 12,2 12,2 12,2 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-07-29 1 1 12,2 12,2 12,2 12,2 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-01 1 1 12,16 12,16 12,16 12,16 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-02 1 1 12,22 12,22 12,22 12,22 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-03 1 1 12,18 12,18 12,18 12,18 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-04 1 1 12,09 12,09 12,09 12,09 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-05 1 1 12,03 12,03 12,03 12,03 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-08 1 1 12,02 12,02 12,02 12,02 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-09 1 1 12,06 12,06 12,06 12,06 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-10 1 1 12,19 12,19 12,19 12,19 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-11 1 1 12,14 12,14 12,14 12,14 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-12 1 1 12,1 12,1 12,1 12,1 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-15 1 1 12,09 12,09 12,09 12,09 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-16 1 1 12,14 12,14 12,14 12,14 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-17 1 1 12,07 12,07 12,07 12,07 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-18 1 1 12,11 12,11 12,11 12,11 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-19 1 1 12,21 12,21 12,21 12,21 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-22 1 1 12,23 12,23 12,23 12,23 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-23 1 1 12,15 12,15 12,15 12,15 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-24 1 1 12,01 12,01 12,01 12,01 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-25 1 1 11,93 11,93 11,93 11,93 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-26 1 1 11,84 11,84 11,84 11,84 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-29 1 1 11,87 11,87 11,87 11,87 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-30 1 1 11,92 11,92 11,92 11,92 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-08-31 1 1 11,95 11,95 11,95 11,95 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-01 1 1 11,98 11,98 11,98 11,98 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-02 1 1 11,91 11,91 11,91 11,91 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-05 1 1 11,97 11,97 11,97 11,97 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-06 1 1 12,08 12,08 12,08 12,08 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-07 1 1 12,13 12,13 12,13 12,13 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-08 1 1 12,12 12,12 12,12 12,12 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-09 1 1 12,2 12,2 12,2 12,2 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-12 1 1 12,26 12,26 12,26 12,26 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-13 1 1 12,25 12,25 12,25 12,25 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-14 1 1 12,27 12,27 12,27 12,27 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-15 1 1 12,28 12,28 12,28 12,28 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-16 1 1 12,32 12,32 12,32 12,32 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-19 1 1 12,36 12,36 12,36 12,36 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-20 1 1 12,37 12,37 12,37 12,37 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-21 1 1 12,23 12,23 12,23 12,23 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-22 1 1 12,22 12,22 12,22 12,22 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-23 1 1 12,29 12,29 12,29 12,29 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-26 1 1 12,45 12,45 12,45 12,45 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-27 1 1 12,46 12,46 12,46 12,46 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-28 1 1 12,54 12,54 12,54 12,54 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-29 1 1 12,51 12,51 12,51 12,51 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-09-30 1 1 12,56 12,56 12,56 12,56 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-03 1 1 12,65 12,65 12,65 12,65 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-04 1 1 12,66 12,66 12,66 12,66 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-05 1 1 12,52 12,52 12,52 12,52 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-06 1 1 12,31 12,31 12,31 12,31 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-07 1 1 12,34 12,34 12,34 12,34 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-10 1 1 12,38 12,38 12,38 12,38 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-11 1 1 12,43 12,43 12,43 12,43 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-12 1 1 12,34 12,34 12,34 12,34 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-13 1 1 12,26 12,26 12,26 12,26 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-14 1 1 12,27 12,27 12,27 12,27 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-17 1 1 12,33 12,33 12,33 12,33 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-18 1 1 12,29 12,29 12,29 12,29 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-19 1 1 12,13 12,13 12,13 12,13 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-20 1 1 12,22 12,22 12,22 12,22 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-21 1 1 12,12 12,12 12,12 12,12 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-24 1 1 12,27 12,27 12,27 12,27 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-25 1 1 12,3 12,3 12,3 12,3 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-26 1 1 12,33 12,33 12,33 12,33 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-27 1 1 12,2 12,2 12,2 12,2 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-28 1 1 12,19 12,19 12,19 12,19 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-10-31 1 1 12,49 12,49 12,49 12,49 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-01 1 1 12,55 12,55 12,55 12,55 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-02 1 1 12,57 12,57 12,57 12,57 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-03 1 1 12,74 12,74 12,74 12,74 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-04 1 1 12,76 12,76 12,76 12,76 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-07 1 1 12,85 12,85 12,85 12,85 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-08 1 1 12,82 12,82 12,82 12,82 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-09 1 1 12,86 12,86 12,86 12,86 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-10 1 1 12,9 12,9 12,9 12,9 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-11 1 1 12,99 12,99 12,99 12,99 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-14 1 1 13,01 13,01 13,01 13,01 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-15 1 1 13,02 13,02 13,02 13,02 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-16 1 1 13,02 13,02 13,02 13,02 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-17 1 1 13,09 13,09 13,09 13,09 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-18 1 1 13,12 13,12 13,12 13,12 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-21 1 1 13,09 13,09 13,09 13,09 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-22 1 1 13,15 13,15 13,15 13,15 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-23 1 1 13,12 13,12 13,12 13,12 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-24 1 1 13,12 13,12 13,12 13,12 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-25 1 1 13,13 13,13 13,13 13,13 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-28 1 1 13,13 13,13 13,13 13,13 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-29 1 1 13,14 13,14 13,14 13,14 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-11-30 1 1 13,1 13,1 13,1 13,1 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-01 1 1 13,19 13,19 13,19 13,19 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-02 1 1 13,29 13,29 13,29 13,29 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-05 1 1 13,2 13,2 13,2 13,2 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-06 1 1 13,24 13,24 13,24 13,24 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-07 1 1 13,28 13,28 13,28 13,28 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-08 1 1 13,24 13,24 13,24 13,24 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-12 1 1 13,02 13,02 13,02 13,02 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-13 1 1 13,01 13,01 13,01 13,01 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-14 1 1 12,99 12,99 12,99 12,99 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-15 1 1 12,98 12,98 12,98 12,98 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-16 1 1 13,05 13,05 13,05 13,05 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-19 1 1 13,05 13,05 13,05 13,05 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-20 1 1 13,02 13,02 13,02 13,02 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-21 1 1 13,17 13,17 13,17 13,17 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-22 1 1 13,19 13,19 13,19 13,19 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-23 1 1 13,25 13,25 13,25 13,25 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-27 1 1 13,32 13,32 13,32 13,32 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-28 1 1 13,21 13,21 13,21 13,21 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-29 1 1 13,28 13,28 13,28 13,28 785022 Robur Fonder AB Robur Aktiefond Pension SEK 2005-12-30 1 1 13,2 13,2 13,2 13,2 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-03 1 1 19,36 19,36 19,36 19,36 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-04 1 1 19,6 19,6 19,6 19,6 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-05 1 1 19,42 19,42 19,42 19,42 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-07 1 1 19,62 19,62 19,62 19,62 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-10 1 1 19,71 19,71 19,71 19,71 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-11 1 1 19,48 19,48 19,48 19,48 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-12 1 1 19,34 19,34 19,34 19,34 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-13 1 1 19,49 19,49 19,49 19,49 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-14 1 1 19,53 19,53 19,53 19,53 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-18 1 1 19,7 19,7 19,7 19,7 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-19 1 1 19,84 19,84 19,84 19,84 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-20 1 1 19,73 19,73 19,73 19,73 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-21 1 1 19,65 19,65 19,65 19,65 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-24 1 1 19,45 19,45 19,45 19,45 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-25 1 1 19,66 19,66 19,66 19,66 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-26 1 1 19,6 19,6 19,6 19,6 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-27 1 1 19,62 19,62 19,62 19,62 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-28 1 1 19,73 19,73 19,73 19,73 319236 Robur Fonder AB Robur Amerikafond SEK 2005-01-31 1 1 19,83 19,83 19,83 19,83 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-01 1 1 19,87 19,87 19,87 19,87 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-02 1 1 19,93 19,93 19,93 19,93 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-03 1 1 20,03 20,03 20,03 20,03 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-04 1 1 20,14 20,14 20,14 20,14 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-07 1 1 20,51 20,51 20,51 20,51 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-08 1 1 20,66 20,66 20,66 20,66 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-09 1 1 20,5 20,5 20,5 20,5 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-10 1 1 20,31 20,31 20,31 20,31 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-11 1 1 20,33 20,33 20,33 20,33 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-14 1 1 20,36 20,36 20,36 20,36 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-15 1 1 20,37 20,37 20,37 20,37 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-16 1 1 20,35 20,35 20,35 20,35 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-17 1 1 20,32 20,32 20,32 20,32 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-18 1 1 20,18 20,18 20,18 20,18 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-22 1 1 19,88 19,88 19,88 19,88 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-23 1 1 19,71 19,71 19,71 19,71 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-24 1 1 19,74 19,74 19,74 19,74 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-25 1 1 19,98 19,98 19,98 19,98 319236 Robur Fonder AB Robur Amerikafond SEK 2005-02-28 1 1 19,9 19,9 19,9 19,9 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-01 1 1 20,02 20,02 20,02 20,02 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-02 1 1 20,12 20,12 20,12 20,12 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-03 1 1 20,22 20,22 20,22 20,22 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-04 1 1 20,16 20,16 20,16 20,16 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-07 1 1 20,27 20,27 20,27 20,27 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-08 1 1 19,98 19,98 19,98 19,98 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-09 1 1 19,85 19,85 19,85 19,85 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-10 1 1 19,69 19,69 19,69 19,69 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-11 1 1 19,67 19,67 19,67 19,67 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-14 1 1 19,69 19,69 19,69 19,69 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-15 1 1 19,86 19,86 19,86 19,86 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-16 1 1 19,5 19,5 19,5 19,5 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-17 1 1 19,48 19,48 19,48 19,48 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-18 1 1 19,69 19,69 19,69 19,69 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-21 1 1 19,76 19,76 19,76 19,76 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-22 1 1 19,73 19,73 19,73 19,73 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-23 1 1 19,77 19,77 19,77 19,77 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-24 1 1 19,89 19,89 19,89 19,89 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-29 1 1 19,98 19,98 19,98 19,98 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-30 1 1 19,83 19,83 19,83 19,83 319236 Robur Fonder AB Robur Amerikafond SEK 2005-03-31 1 1 20,06 20,06 20,06 20,06 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-01 1 1 20,21 20,21 20,21 20,21 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-04 1 1 20,11 20,11 20,11 20,11 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-05 1 1 20,34 20,34 20,34 20,34 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-06 1 1 20,37 20,37 20,37 20,37 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-07 1 1 20,26 20,26 20,26 20,26 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-08 1 1 20,49 20,49 20,49 20,49 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-11 1 1 20,14 20,14 20,14 20,14 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-12 1 1 20,14 20,14 20,14 20,14 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-13 1 1 20,29 20,29 20,29 20,29 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-14 1 1 20,22 20,22 20,22 20,22 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-15 1 1 19,85 19,85 19,85 19,85 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-18 1 1 19,51 19,51 19,51 19,51 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-19 1 1 19,59 19,59 19,59 19,59 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-20 1 1 19,57 19,57 19,57 19,57 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-21 1 1 19,37 19,37 19,37 19,37 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-22 1 1 19,6 19,6 19,6 19,6 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-25 1 1 19,78 19,78 19,78 19,78 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-26 1 1 19,77 19,77 19,77 19,77 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-27 1 1 19,51 19,51 19,51 19,51 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-28 1 1 19,76 19,76 19,76 19,76 319236 Robur Fonder AB Robur Amerikafond SEK 2005-04-29 1 1 19,65 19,65 19,65 19,65 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-02 1 1 20,09 20,09 20,09 20,09 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-03 1 1 20,04 20,04 20,04 20,04 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-04 1 1 19,98 19,98 19,98 19,98 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-06 1 1 20,28 20,28 20,28 20,28 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-09 1 1 20,25 20,25 20,25 20,25 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-10 1 1 20,28 20,28 20,28 20,28 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-11 1 1 20,29 20,29 20,29 20,29 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-12 1 1 20,56 20,56 20,56 20,56 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-13 1 1 20,41 20,41 20,41 20,41 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-16 1 1 20,47 20,47 20,47 20,47 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-17 1 1 20,5 20,5 20,5 20,5 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-18 1 1 20,83 20,83 20,83 20,83 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-19 1 1 20,96 20,96 20,96 20,96 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-20 1 1 21,01 21,01 21,01 21,01 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-23 1 1 21,04 21,04 21,04 21,04 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-24 1 1 21,06 21,06 21,06 21,06 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-25 1 1 20,97 20,97 20,97 20,97 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-26 1 1 21,33 21,33 21,33 21,33 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-27 1 1 21,29 21,29 21,29 21,29 319236 Robur Fonder AB Robur Amerikafond SEK 2005-05-31 1 1 21,46 21,46 21,46 21,46 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-01 1 1 21,78 21,78 21,78 21,78 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-02 1 1 21,73 21,73 21,73 21,73 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-03 1 1 21,75 21,75 21,75 21,75 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-07 1 1 21,91 21,91 21,91 21,91 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-08 1 1 21,76 21,76 21,76 21,76 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-09 1 1 21,87 21,87 21,87 21,87 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-10 1 1 22,14 22,14 22,14 22,14 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-13 1 1 22,44 22,44 22,44 22,44 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-14 1 1 22,49 22,49 22,49 22,49 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-15 1 1 22,45 22,45 22,45 22,45 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-16 1 1 22,56 22,56 22,56 22,56 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-17 1 1 22,33 22,33 22,33 22,33 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-20 1 1 22,4 22,4 22,4 22,4 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-21 1 1 22,55 22,55 22,55 22,55 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-22 1 1 22,66 22,66 22,66 22,66 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-23 1 1 22,93 22,93 22,93 22,93 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-27 1 1 22,37 22,37 22,37 22,37 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-28 1 1 22,74 22,74 22,74 22,74 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-29 1 1 22,99 22,99 22,99 22,99 319236 Robur Fonder AB Robur Amerikafond SEK 2005-06-30 1 1 22,94 22,94 22,94 22,94 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-01 1 1 23,07 23,07 23,07 23,07 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-05 1 1 23,1 23,1 23,1 23,1 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-06 1 1 23,07 23,07 23,07 23,07 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-07 1 1 22,83 22,83 22,83 22,83 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-08 1 1 23,13 23,13 23,13 23,13 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-11 1 1 23,31 23,31 23,31 23,31 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-12 1 1 22,96 22,96 22,96 22,96 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-13 1 1 23,03 23,03 23,03 23,03 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-14 1 1 23,23 23,23 23,23 23,23 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-15 1 1 23,24 23,24 23,24 23,24 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-18 1 1 23,23 23,23 23,23 23,23 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-19 1 1 23,46 23,46 23,46 23,46 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-20 1 1 23,36 23,36 23,36 23,36 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-21 1 1 23,28 23,28 23,28 23,28 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-22 1 1 23,21 23,21 23,21 23,21 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-25 1 1 23,34 23,34 23,34 23,34 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-26 1 1 23,51 23,51 23,51 23,51 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-27 1 1 23,41 23,41 23,41 23,41 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-28 1 1 23,37 23,37 23,37 23,37 319236 Robur Fonder AB Robur Amerikafond SEK 2005-07-29 1 1 23,34 23,34 23,34 23,34 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-01 1 1 23,08 23,08 23,08 23,08 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-02 1 1 23,11 23,11 23,11 23,11 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-03 1 1 22,93 22,93 22,93 22,93 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-04 1 1 22,74 22,74 22,74 22,74 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-05 1 1 22,58 22,58 22,58 22,58 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-08 1 1 22,49 22,49 22,49 22,49 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-09 1 1 22,57 22,57 22,57 22,57 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-10 1 1 22,64 22,64 22,64 22,64 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-11 1 1 22,42 22,42 22,42 22,42 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-12 1 1 22,38 22,38 22,38 22,38 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-15 1 1 22,36 22,36 22,36 22,36 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-16 1 1 22,51 22,51 22,51 22,51 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-17 1 1 22,39 22,39 22,39 22,39 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-18 1 1 22,58 22,58 22,58 22,58 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-19 1 1 22,79 22,79 22,79 22,79 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-22 1 1 22,77 22,77 22,77 22,77 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-23 1 1 22,61 22,61 22,61 22,61 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-24 1 1 22,42 22,42 22,42 22,42 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-25 1 1 22,32 22,32 22,32 22,32 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-26 1 1 22,1 22,1 22,1 22,1 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-29 1 1 22,16 22,16 22,16 22,16 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-30 1 1 22,38 22,38 22,38 22,38 319236 Robur Fonder AB Robur Amerikafond SEK 2005-08-31 1 1 22,32 22,32 22,32 22,32 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-01 1 1 22,21 22,21 22,21 22,21 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-02 1 1 21,9 21,9 21,9 21,9 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-06 1 1 22,15 22,15 22,15 22,15 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-07 1 1 22,35 22,35 22,35 22,35 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-08 1 1 22,42 22,42 22,42 22,42 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-09 1 1 22,52 22,52 22,52 22,52 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-12 1 1 22,73 22,73 22,73 22,73 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-13 1 1 22,75 22,75 22,75 22,75 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-14 1 1 22,67 22,67 22,67 22,67 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-15 1 1 22,78 22,78 22,78 22,78 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-16 1 1 22,84 22,84 22,84 22,84 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-19 1 1 22,96 22,96 22,96 22,96 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-20 1 1 22,99 22,99 22,99 22,99 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-21 1 1 22,5 22,5 22,5 22,5 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-22 1 1 22,49 22,49 22,49 22,49 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-23 1 1 22,78 22,78 22,78 22,78 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-26 1 1 23,07 23,07 23,07 23,07 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-27 1 1 22,98 22,98 22,98 22,98 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-28 1 1 23,05 23,05 23,05 23,05 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-29 1 1 22,86 22,86 22,86 22,86 319236 Robur Fonder AB Robur Amerikafond SEK 2005-09-30 1 1 23 23 23 23 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-03 1 1 23,19 23,19 23,19 23,19 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-04 1 1 23,21 23,21 23,21 23,21 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-05 1 1 22,8 22,8 22,8 22,8 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-06 1 1 22,27 22,27 22,27 22,27 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-07 1 1 22,36 22,36 22,36 22,36 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-10 1 1 22,37 22,37 22,37 22,37 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-11 1 1 22,49 22,49 22,49 22,49 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-12 1 1 22,32 22,32 22,32 22,32 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-13 1 1 22,42 22,42 22,42 22,42 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-14 1 1 22,43 22,43 22,43 22,43 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-17 1 1 22,69 22,69 22,69 22,69 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-18 1 1 22,77 22,77 22,77 22,77 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-19 1 1 22,51 22,51 22,51 22,51 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-20 1 1 22,89 22,89 22,89 22,89 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-21 1 1 22,62 22,62 22,62 22,62 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-24 1 1 23 23 23 23 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-25 1 1 22,9 22,9 22,9 22,9 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-26 1 1 22,87 22,87 22,87 22,87 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-27 1 1 22,54 22,54 22,54 22,54 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-28 1 1 22,54 22,54 22,54 22,54 319236 Robur Fonder AB Robur Amerikafond SEK 2005-10-31 1 1 23,24 23,24 23,24 23,24 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-01 1 1 23,3 23,3 23,3 23,3 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-02 1 1 23,37 23,37 23,37 23,37 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-03 1 1 23,69 23,69 23,69 23,69 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-04 1 1 23,77 23,77 23,77 23,77 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-07 1 1 24,07 24,07 24,07 24,07 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-08 1 1 23,96 23,96 23,96 23,96 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-09 1 1 24,11 24,11 24,11 24,11 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-10 1 1 24,19 24,19 24,19 24,19 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-11 1 1 24,4 24,4 24,4 24,4 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-14 1 1 24,42 24,42 24,42 24,42 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-15 1 1 24,57 24,57 24,57 24,57 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-16 1 1 24,56 24,56 24,56 24,56 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-17 1 1 24,67 24,67 24,67 24,67 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-18 1 1 24,65 24,65 24,65 24,65 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-21 1 1 24,48 24,48 24,48 24,48 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-22 1 1 24,83 24,83 24,83 24,83 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-23 1 1 24,64 24,64 24,64 24,64 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-25 1 1 24,72 24,72 24,72 24,72 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-28 1 1 24,71 24,71 24,71 24,71 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-29 1 1 24,69 24,69 24,69 24,69 319236 Robur Fonder AB Robur Amerikafond SEK 2005-11-30 1 1 24,69 24,69 24,69 24,69 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-01 1 1 24,77 24,77 24,77 24,77 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-02 1 1 24,83 24,83 24,83 24,83 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-05 1 1 24,48 24,48 24,48 24,48 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-06 1 1 24,51 24,51 24,51 24,51 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-07 1 1 24,54 24,54 24,54 24,54 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-08 1 1 24,39 24,39 24,39 24,39 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-12 1 1 23,86 23,86 23,86 23,86 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-13 1 1 23,88 23,88 23,88 23,88 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-14 1 1 23,89 23,89 23,89 23,89 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-15 1 1 23,91 23,91 23,91 23,91 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-16 1 1 24,05 24,05 24,05 24,05 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-19 1 1 23,88 23,88 23,88 23,88 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-20 1 1 23,75 23,75 23,75 23,75 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-21 1 1 24,2 24,2 24,2 24,2 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-22 1 1 24,13 24,13 24,13 24,13 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-23 1 1 24,22 24,22 24,22 24,22 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-27 1 1 24,29 24,29 24,29 24,29 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-28 1 1 23,79 23,79 23,79 23,79 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-29 1 1 23,97 23,97 23,97 23,97 319236 Robur Fonder AB Robur Amerikafond SEK 2005-12-30 1 1 23,77 23,77 23,77 23,77 283408 Robur Fonder AB Robur Contura SEK 2005-01-03 1 1 78,19 78,19 78,19 78,19 283408 Robur Fonder AB Robur Contura SEK 2005-01-04 1 1 78,98 78,98 78,98 78,98 283408 Robur Fonder AB Robur Contura SEK 2005-01-05 1 1 78,16 78,16 78,16 78,16 283408 Robur Fonder AB Robur Contura SEK 2005-01-07 1 1 78,54 78,54 78,54 78,54 283408 Robur Fonder AB Robur Contura SEK 2005-01-10 1 1 79 79 79 79 283408 Robur Fonder AB Robur Contura SEK 2005-01-11 1 1 78,1 78,1 78,1 78,1 283408 Robur Fonder AB Robur Contura SEK 2005-01-12 1 1 77,64 77,64 77,64 77,64 283408 Robur Fonder AB Robur Contura SEK 2005-01-13 1 1 77,71 77,71 77,71 77,71 283408 Robur Fonder AB Robur Contura SEK 2005-01-14 1 1 77,91 77,91 77,91 77,91 283408 Robur Fonder AB Robur Contura SEK 2005-01-18 1 1 78,05 78,05 78,05 78,05 283408 Robur Fonder AB Robur Contura SEK 2005-01-19 1 1 78,2 78,2 78,2 78,2 283408 Robur Fonder AB Robur Contura SEK 2005-01-20 1 1 77,49 77,49 77,49 77,49 283408 Robur Fonder AB Robur Contura SEK 2005-01-21 1 1 76,98 76,98 76,98 76,98 283408 Robur Fonder AB Robur Contura SEK 2005-01-24 1 1 76,25 76,25 76,25 76,25 283408 Robur Fonder AB Robur Contura SEK 2005-01-25 1 1 76,79 76,79 76,79 76,79 283408 Robur Fonder AB Robur Contura SEK 2005-01-26 1 1 76,84 76,84 76,84 76,84 283408 Robur Fonder AB Robur Contura SEK 2005-01-27 1 1 76,88 76,88 76,88 76,88 283408 Robur Fonder AB Robur Contura SEK 2005-01-28 1 1 77,6 77,6 77,6 77,6 283408 Robur Fonder AB Robur Contura SEK 2005-01-31 1 1 77,89 77,89 77,89 77,89 283408 Robur Fonder AB Robur Contura SEK 2005-02-01 1 1 77,76 77,76 77,76 77,76 283408 Robur Fonder AB Robur Contura SEK 2005-02-02 1 1 77,83 77,83 77,83 77,83 283408 Robur Fonder AB Robur Contura SEK 2005-02-03 1 1 77,79 77,79 77,79 77,79 283408 Robur Fonder AB Robur Contura SEK 2005-02-04 1 1 78,34 78,34 78,34 78,34 283408 Robur Fonder AB Robur Contura SEK 2005-02-07 1 1 79,93 79,93 79,93 79,93 283408 Robur Fonder AB Robur Contura SEK 2005-02-08 1 1 80,58 80,58 80,58 80,58 283408 Robur Fonder AB Robur Contura SEK 2005-02-09 1 1 80,09 80,09 80,09 80,09 283408 Robur Fonder AB Robur Contura SEK 2005-02-10 1 1 79,01 79,01 79,01 79,01 283408 Robur Fonder AB Robur Contura SEK 2005-02-11 1 1 78,91 78,91 78,91 78,91 283408 Robur Fonder AB Robur Contura SEK 2005-02-14 1 1 79,53 79,53 79,53 79,53 283408 Robur Fonder AB Robur Contura SEK 2005-02-15 1 1 79,8 79,8 79,8 79,8 283408 Robur Fonder AB Robur Contura SEK 2005-02-16 1 1 79,55 79,55 79,55 79,55 283408 Robur Fonder AB Robur Contura SEK 2005-02-17 1 1 78,95 78,95 78,95 78,95 283408 Robur Fonder AB Robur Contura SEK 2005-02-18 1 1 78,44 78,44 78,44 78,44 283408 Robur Fonder AB Robur Contura SEK 2005-02-22 1 1 77,79 77,79 77,79 77,79 283408 Robur Fonder AB Robur Contura SEK 2005-02-23 1 1 76,88 76,88 76,88 76,88 283408 Robur Fonder AB Robur Contura SEK 2005-02-24 1 1 76,87 76,87 76,87 76,87 283408 Robur Fonder AB Robur Contura SEK 2005-02-25 1 1 77,82 77,82 77,82 77,82 283408 Robur Fonder AB Robur Contura SEK 2005-02-28 1 1 77,5 77,5 77,5 77,5 283408 Robur Fonder AB Robur Contura SEK 2005-03-01 1 1 78,15 78,15 78,15 78,15 283408 Robur Fonder AB Robur Contura SEK 2005-03-02 1 1 78,57 78,57 78,57 78,57 283408 Robur Fonder AB Robur Contura SEK 2005-03-03 1 1 78,56 78,56 78,56 78,56 283408 Robur Fonder AB Robur Contura SEK 2005-03-04 1 1 78,22 78,22 78,22 78,22 283408 Robur Fonder AB Robur Contura SEK 2005-03-07 1 1 78,81 78,81 78,81 78,81 283408 Robur Fonder AB Robur Contura SEK 2005-03-08 1 1 78,04 78,04 78,04 78,04 283408 Robur Fonder AB Robur Contura SEK 2005-03-09 1 1 77,42 77,42 77,42 77,42 283408 Robur Fonder AB Robur Contura SEK 2005-03-10 1 1 77,13 77,13 77,13 77,13 283408 Robur Fonder AB Robur Contura SEK 2005-03-11 1 1 77,11 77,11 77,11 77,11 283408 Robur Fonder AB Robur Contura SEK 2005-03-14 1 1 76,73 76,73 76,73 76,73 283408 Robur Fonder AB Robur Contura SEK 2005-03-15 1 1 77,01 77,01 77,01 77,01 283408 Robur Fonder AB Robur Contura SEK 2005-03-16 1 1 76,18 76,18 76,18 76,18 283408 Robur Fonder AB Robur Contura SEK 2005-03-17 1 1 75,73 75,73 75,73 75,73 283408 Robur Fonder AB Robur Contura SEK 2005-03-18 1 1 76,28 76,28 76,28 76,28 283408 Robur Fonder AB Robur Contura SEK 2005-03-21 1 1 76,29 76,29 76,29 76,29 283408 Robur Fonder AB Robur Contura SEK 2005-03-22 1 1 76,41 76,41 76,41 76,41 283408 Robur Fonder AB Robur Contura SEK 2005-03-23 1 1 77,05 77,05 77,05 77,05 283408 Robur Fonder AB Robur Contura SEK 2005-03-24 1 1 77,3 77,3 77,3 77,3 283408 Robur Fonder AB Robur Contura SEK 2005-03-29 1 1 77,32 77,32 77,32 77,32 283408 Robur Fonder AB Robur Contura SEK 2005-03-30 1 1 77 77 77 77 283408 Robur Fonder AB Robur Contura SEK 2005-03-31 1 1 77,98 77,98 77,98 77,98 283408 Robur Fonder AB Robur Contura SEK 2005-04-01 1 1 78,28 78,28 78,28 78,28 283408 Robur Fonder AB Robur Contura SEK 2005-04-04 1 1 78,07 78,07 78,07 78,07 283408 Robur Fonder AB Robur Contura SEK 2005-04-05 1 1 78,91 78,91 78,91 78,91 283408 Robur Fonder AB Robur Contura SEK 2005-04-06 1 1 78,79 78,79 78,79 78,79 283408 Robur Fonder AB Robur Contura SEK 2005-04-07 1 1 78,44 78,44 78,44 78,44 283408 Robur Fonder AB Robur Contura SEK 2005-04-08 1 1 79,86 79,86 79,86 79,86 283408 Robur Fonder AB Robur Contura SEK 2005-04-11 1 1 78,57 78,57 78,57 78,57 283408 Robur Fonder AB Robur Contura SEK 2005-04-12 1 1 78,27 78,27 78,27 78,27 283408 Robur Fonder AB Robur Contura SEK 2005-04-13 1 1 78,85 78,85 78,85 78,85 283408 Robur Fonder AB Robur Contura SEK 2005-04-14 1 1 78,57 78,57 78,57 78,57 283408 Robur Fonder AB Robur Contura SEK 2005-04-15 1 1 76,45 76,45 76,45 76,45 283408 Robur Fonder AB Robur Contura SEK 2005-04-18 1 1 75,39 75,39 75,39 75,39 283408 Robur Fonder AB Robur Contura SEK 2005-04-19 1 1 75,74 75,74 75,74 75,74 283408 Robur Fonder AB Robur Contura SEK 2005-04-20 1 1 76,1 76,1 76,1 76,1 283408 Robur Fonder AB Robur Contura SEK 2005-04-21 1 1 75,79 75,79 75,79 75,79 283408 Robur Fonder AB Robur Contura SEK 2005-04-22 1 1 76,61 76,61 76,61 76,61 283408 Robur Fonder AB Robur Contura SEK 2005-04-25 1 1 77,03 77,03 77,03 77,03 283408 Robur Fonder AB Robur Contura SEK 2005-04-26 1 1 76,77 76,77 76,77 76,77 283408 Robur Fonder AB Robur Contura SEK 2005-04-27 1 1 75,79 75,79 75,79 75,79 283408 Robur Fonder AB Robur Contura SEK 2005-04-28 1 1 76,58 76,58 76,58 76,58 283408 Robur Fonder AB Robur Contura SEK 2005-04-29 1 1 76,4 76,4 76,4 76,4 283408 Robur Fonder AB Robur Contura SEK 2005-05-02 1 1 77,7 77,7 77,7 77,7 283408 Robur Fonder AB Robur Contura SEK 2005-05-03 1 1 77,72 77,72 77,72 77,72 283408 Robur Fonder AB Robur Contura SEK 2005-05-04 1 1 77,48 77,48 77,48 77,48 283408 Robur Fonder AB Robur Contura SEK 2005-05-06 1 1 78,89 78,89 78,89 78,89 283408 Robur Fonder AB Robur Contura SEK 2005-05-09 1 1 78,78 78,78 78,78 78,78 283408 Robur Fonder AB Robur Contura SEK 2005-05-10 1 1 78,93 78,93 78,93 78,93 283408 Robur Fonder AB Robur Contura SEK 2005-05-11 1 1 79,01 79,01 79,01 79,01 283408 Robur Fonder AB Robur Contura SEK 2005-05-12 1 1 80,25 80,25 80,25 80,25 283408 Robur Fonder AB Robur Contura SEK 2005-05-13 1 1 80,82 80,82 80,82 80,82 283408 Robur Fonder AB Robur Contura SEK 2005-05-16 1 1 81,38 81,38 81,38 81,38 283408 Robur Fonder AB Robur Contura SEK 2005-05-17 1 1 81,36 81,36 81,36 81,36 283408 Robur Fonder AB Robur Contura SEK 2005-05-18 1 1 82,2 82,2 82,2 82,2 283408 Robur Fonder AB Robur Contura SEK 2005-05-19 1 1 83,19 83,19 83,19 83,19 283408 Robur Fonder AB Robur Contura SEK 2005-05-20 1 1 83,35 83,35 83,35 83,35 283408 Robur Fonder AB Robur Contura SEK 2005-05-23 1 1 83,74 83,74 83,74 83,74 283408 Robur Fonder AB Robur Contura SEK 2005-05-24 1 1 83,72 83,72 83,72 83,72 283408 Robur Fonder AB Robur Contura SEK 2005-05-25 1 1 83,4 83,4 83,4 83,4 283408 Robur Fonder AB Robur Contura SEK 2005-05-26 1 1 84,81 84,81 84,81 84,81 283408 Robur Fonder AB Robur Contura SEK 2005-05-27 1 1 84,59 84,59 84,59 84,59 283408 Robur Fonder AB Robur Contura SEK 2005-05-31 1 1 85,51 85,51 85,51 85,51 283408 Robur Fonder AB Robur Contura SEK 2005-06-01 1 1 86,55 86,55 86,55 86,55 283408 Robur Fonder AB Robur Contura SEK 2005-06-02 1 1 86,36 86,36 86,36 86,36 283408 Robur Fonder AB Robur Contura SEK 2005-06-03 1 1 86,05 86,05 86,05 86,05 283408 Robur Fonder AB Robur Contura SEK 2005-06-07 1 1 86,18 86,18 86,18 86,18 283408 Robur Fonder AB Robur Contura SEK 2005-06-08 1 1 85,7 85,7 85,7 85,7 283408 Robur Fonder AB Robur Contura SEK 2005-06-09 1 1 86,02 86,02 86,02 86,02 283408 Robur Fonder AB Robur Contura SEK 2005-06-10 1 1 86,8 86,8 86,8 86,8 283408 Robur Fonder AB Robur Contura SEK 2005-06-13 1 1 87,63 87,63 87,63 87,63 283408 Robur Fonder AB Robur Contura SEK 2005-06-14 1 1 87,82 87,82 87,82 87,82 283408 Robur Fonder AB Robur Contura SEK 2005-06-15 1 1 87,34 87,34 87,34 87,34 283408 Robur Fonder AB Robur Contura SEK 2005-06-16 1 1 87,6 87,6 87,6 87,6 283408 Robur Fonder AB Robur Contura SEK 2005-06-17 1 1 86,76 86,76 86,76 86,76 283408 Robur Fonder AB Robur Contura SEK 2005-06-20 1 1 86,98 86,98 86,98 86,98 283408 Robur Fonder AB Robur Contura SEK 2005-06-21 1 1 87,96 87,96 87,96 87,96 283408 Robur Fonder AB Robur Contura SEK 2005-06-22 1 1 88,85 88,85 88,85 88,85 283408 Robur Fonder AB Robur Contura SEK 2005-06-23 1 1 90,13 90,13 90,13 90,13 283408 Robur Fonder AB Robur Contura SEK 2005-06-27 1 1 87,33 87,33 87,33 87,33 283408 Robur Fonder AB Robur Contura SEK 2005-06-28 1 1 88,32 88,32 88,32 88,32 283408 Robur Fonder AB Robur Contura SEK 2005-06-29 1 1 89,56 89,56 89,56 89,56 283408 Robur Fonder AB Robur Contura SEK 2005-06-30 1 1 89,3 89,3 89,3 89,3 283408 Robur Fonder AB Robur Contura SEK 2005-07-01 1 1 89,6 89,6 89,6 89,6 283408 Robur Fonder AB Robur Contura SEK 2005-07-05 1 1 89,43 89,43 89,43 89,43 283408 Robur Fonder AB Robur Contura SEK 2005-07-06 1 1 89,44 89,44 89,44 89,44 283408 Robur Fonder AB Robur Contura SEK 2005-07-07 1 1 88,74 88,74 88,74 88,74 283408 Robur Fonder AB Robur Contura SEK 2005-07-08 1 1 89,68 89,68 89,68 89,68 283408 Robur Fonder AB Robur Contura SEK 2005-07-11 1 1 90,98 90,98 90,98 90,98 283408 Robur Fonder AB Robur Contura SEK 2005-07-12 1 1 90,07 90,07 90,07 90,07 283408 Robur Fonder AB Robur Contura SEK 2005-07-13 1 1 90,44 90,44 90,44 90,44 283408 Robur Fonder AB Robur Contura SEK 2005-07-14 1 1 91,56 91,56 91,56 91,56 283408 Robur Fonder AB Robur Contura SEK 2005-07-15 1 1 91,88 91,88 91,88 91,88 283408 Robur Fonder AB Robur Contura SEK 2005-07-18 1 1 91,8 91,8 91,8 91,8 283408 Robur Fonder AB Robur Contura SEK 2005-07-19 1 1 92,94 92,94 92,94 92,94 283408 Robur Fonder AB Robur Contura SEK 2005-07-20 1 1 92,53 92,53 92,53 92,53 283408 Robur Fonder AB Robur Contura SEK 2005-07-21 1 1 91,92 91,92 91,92 91,92 283408 Robur Fonder AB Robur Contura SEK 2005-07-22 1 1 91,48 91,48 91,48 91,48 283408 Robur Fonder AB Robur Contura SEK 2005-07-25 1 1 91,53 91,53 91,53 91,53 283408 Robur Fonder AB Robur Contura SEK 2005-07-26 1 1 92,13 92,13 92,13 92,13 283408 Robur Fonder AB Robur Contura SEK 2005-07-27 1 1 91,74 91,74 91,74 91,74 283408 Robur Fonder AB Robur Contura SEK 2005-07-28 1 1 91,69 91,69 91,69 91,69 283408 Robur Fonder AB Robur Contura SEK 2005-07-29 1 1 91,44 91,44 91,44 91,44 283408 Robur Fonder AB Robur Contura SEK 2005-08-01 1 1 90,58 90,58 90,58 90,58 283408 Robur Fonder AB Robur Contura SEK 2005-08-02 1 1 90,92 90,92 90,92 90,92 283408 Robur Fonder AB Robur Contura SEK 2005-08-03 1 1 90,72 90,72 90,72 90,72 283408 Robur Fonder AB Robur Contura SEK 2005-08-04 1 1 89,94 89,94 89,94 89,94 283408 Robur Fonder AB Robur Contura SEK 2005-08-05 1 1 89,17 89,17 89,17 89,17 283408 Robur Fonder AB Robur Contura SEK 2005-08-08 1 1 88,91 88,91 88,91 88,91 283408 Robur Fonder AB Robur Contura SEK 2005-08-09 1 1 89,36 89,36 89,36 89,36 283408 Robur Fonder AB Robur Contura SEK 2005-08-10 1 1 89,7 89,7 89,7 89,7 283408 Robur Fonder AB Robur Contura SEK 2005-08-11 1 1 88,47 88,47 88,47 88,47 283408 Robur Fonder AB Robur Contura SEK 2005-08-12 1 1 87,91 87,91 87,91 87,91 283408 Robur Fonder AB Robur Contura SEK 2005-08-15 1 1 87,86 87,86 87,86 87,86 283408 Robur Fonder AB Robur Contura SEK 2005-08-16 1 1 88,6 88,6 88,6 88,6 283408 Robur Fonder AB Robur Contura SEK 2005-08-17 1 1 88,74 88,74 88,74 88,74 283408 Robur Fonder AB Robur Contura SEK 2005-08-18 1 1 89,3 89,3 89,3 89,3 283408 Robur Fonder AB Robur Contura SEK 2005-08-19 1 1 89,95 89,95 89,95 89,95 283408 Robur Fonder AB Robur Contura SEK 2005-08-22 1 1 89,84 89,84 89,84 89,84 283408 Robur Fonder AB Robur Contura SEK 2005-08-23 1 1 89,22 89,22 89,22 89,22 283408 Robur Fonder AB Robur Contura SEK 2005-08-24 1 1 88,35 88,35 88,35 88,35 283408 Robur Fonder AB Robur Contura SEK 2005-08-25 1 1 88,22 88,22 88,22 88,22 283408 Robur Fonder AB Robur Contura SEK 2005-08-26 1 1 87,33 87,33 87,33 87,33 283408 Robur Fonder AB Robur Contura SEK 2005-08-29 1 1 87,64 87,64 87,64 87,64 283408 Robur Fonder AB Robur Contura SEK 2005-08-30 1 1 88,43 88,43 88,43 88,43 283408 Robur Fonder AB Robur Contura SEK 2005-08-31 1 1 88,2 88,2 88,2 88,2 283408 Robur Fonder AB Robur Contura SEK 2005-09-01 1 1 87,66 87,66 87,66 87,66 283408 Robur Fonder AB Robur Contura SEK 2005-09-02 1 1 86,79 86,79 86,79 86,79 283408 Robur Fonder AB Robur Contura SEK 2005-09-06 1 1 87,74 87,74 87,74 87,74 283408 Robur Fonder AB Robur Contura SEK 2005-09-07 1 1 88,3 88,3 88,3 88,3 283408 Robur Fonder AB Robur Contura SEK 2005-09-08 1 1 88,99 88,99 88,99 88,99 283408 Robur Fonder AB Robur Contura SEK 2005-09-09 1 1 89,37 89,37 89,37 89,37 283408 Robur Fonder AB Robur Contura SEK 2005-09-12 1 1 90,25 90,25 90,25 90,25 283408 Robur Fonder AB Robur Contura SEK 2005-09-13 1 1 90,44 90,44 90,44 90,44 283408 Robur Fonder AB Robur Contura SEK 2005-09-14 1 1 90,49 90,49 90,49 90,49 283408 Robur Fonder AB Robur Contura SEK 2005-09-15 1 1 90,18 90,18 90,18 90,18 283408 Robur Fonder AB Robur Contura SEK 2005-09-16 1 1 90,29 90,29 90,29 90,29 283408 Robur Fonder AB Robur Contura SEK 2005-09-19 1 1 90,59 90,59 90,59 90,59 283408 Robur Fonder AB Robur Contura SEK 2005-09-20 1 1 90,82 90,82 90,82 90,82 283408 Robur Fonder AB Robur Contura SEK 2005-09-21 1 1 89,2 89,2 89,2 89,2 283408 Robur Fonder AB Robur Contura SEK 2005-09-22 1 1 88,84 88,84 88,84 88,84 283408 Robur Fonder AB Robur Contura SEK 2005-09-23 1 1 89,59 89,59 89,59 89,59 283408 Robur Fonder AB Robur Contura SEK 2005-09-26 1 1 90,72 90,72 90,72 90,72 283408 Robur Fonder AB Robur Contura SEK 2005-09-27 1 1 90,25 90,25 90,25 90,25 283408 Robur Fonder AB Robur Contura SEK 2005-09-28 1 1 90,36 90,36 90,36 90,36 283408 Robur Fonder AB Robur Contura SEK 2005-09-29 1 1 89,67 89,67 89,67 89,67 283408 Robur Fonder AB Robur Contura SEK 2005-09-30 1 1 90,66 90,66 90,66 90,66 283408 Robur Fonder AB Robur Contura SEK 2005-10-03 1 1 91,76 91,76 91,76 91,76 283408 Robur Fonder AB Robur Contura SEK 2005-10-04 1 1 92,13 92,13 92,13 92,13 283408 Robur Fonder AB Robur Contura SEK 2005-10-05 1 1 90,75 90,75 90,75 90,75 283408 Robur Fonder AB Robur Contura SEK 2005-10-06 1 1 88,63 88,63 88,63 88,63 283408 Robur Fonder AB Robur Contura SEK 2005-10-07 1 1 88,73 88,73 88,73 88,73 283408 Robur Fonder AB Robur Contura SEK 2005-10-10 1 1 88,69 88,69 88,69 88,69 283408 Robur Fonder AB Robur Contura SEK 2005-10-11 1 1 88,94 88,94 88,94 88,94 283408 Robur Fonder AB Robur Contura SEK 2005-10-12 1 1 88,02 88,02 88,02 88,02 283408 Robur Fonder AB Robur Contura SEK 2005-10-13 1 1 88,75 88,75 88,75 88,75 283408 Robur Fonder AB Robur Contura SEK 2005-10-14 1 1 89,19 89,19 89,19 89,19 283408 Robur Fonder AB Robur Contura SEK 2005-10-17 1 1 89,79 89,79 89,79 89,79 283408 Robur Fonder AB Robur Contura SEK 2005-10-18 1 1 90,22 90,22 90,22 90,22 283408 Robur Fonder AB Robur Contura SEK 2005-10-19 1 1 89,54 89,54 89,54 89,54 283408 Robur Fonder AB Robur Contura SEK 2005-10-20 1 1 90,6 90,6 90,6 90,6 283408 Robur Fonder AB Robur Contura SEK 2005-10-21 1 1 90,17 90,17 90,17 90,17 283408 Robur Fonder AB Robur Contura SEK 2005-10-24 1 1 91,25 91,25 91,25 91,25 283408 Robur Fonder AB Robur Contura SEK 2005-10-25 1 1 90,5 90,5 90,5 90,5 283408 Robur Fonder AB Robur Contura SEK 2005-10-26 1 1 90,43 90,43 90,43 90,43 283408 Robur Fonder AB Robur Contura SEK 2005-10-27 1 1 89,13 89,13 89,13 89,13 283408 Robur Fonder AB Robur Contura SEK 2005-10-28 1 1 89,09 89,09 89,09 89,09 283408 Robur Fonder AB Robur Contura SEK 2005-10-31 1 1 91,28 91,28 91,28 91,28 283408 Robur Fonder AB Robur Contura SEK 2005-11-01 1 1 92,04 92,04 92,04 92,04 283408 Robur Fonder AB Robur Contura SEK 2005-11-02 1 1 91,55 91,55 91,55 91,55 283408 Robur Fonder AB Robur Contura SEK 2005-11-03 1 1 92,96 92,96 92,96 92,96 283408 Robur Fonder AB Robur Contura SEK 2005-11-04 1 1 94,04 94,04 94,04 94,04 283408 Robur Fonder AB Robur Contura SEK 2005-11-07 1 1 95,26 95,26 95,26 95,26 283408 Robur Fonder AB Robur Contura SEK 2005-11-08 1 1 95,13 95,13 95,13 95,13 283408 Robur Fonder AB Robur Contura SEK 2005-11-09 1 1 95,72 95,72 95,72 95,72 283408 Robur Fonder AB Robur Contura SEK 2005-11-10 1 1 96,05 96,05 96,05 96,05 283408 Robur Fonder AB Robur Contura SEK 2005-11-11 1 1 96,94 96,94 96,94 96,94 283408 Robur Fonder AB Robur Contura SEK 2005-11-14 1 1 96,75 96,75 96,75 96,75 283408 Robur Fonder AB Robur Contura SEK 2005-11-15 1 1 97,28 97,28 97,28 97,28 283408 Robur Fonder AB Robur Contura SEK 2005-11-16 1 1 97,08 97,08 97,08 97,08 283408 Robur Fonder AB Robur Contura SEK 2005-11-17 1 1 97,61 97,61 97,61 97,61 283408 Robur Fonder AB Robur Contura SEK 2005-11-18 1 1 98,02 98,02 98,02 98,02 283408 Robur Fonder AB Robur Contura SEK 2005-11-21 1 1 97 97 97 97 283408 Robur Fonder AB Robur Contura SEK 2005-11-22 1 1 97,98 97,98 97,98 97,98 283408 Robur Fonder AB Robur Contura SEK 2005-11-23 1 1 97,46 97,46 97,46 97,46 283408 Robur Fonder AB Robur Contura SEK 2005-11-25 1 1 97,53 97,53 97,53 97,53 283408 Robur Fonder AB Robur Contura SEK 2005-11-28 1 1 97,51 97,51 97,51 97,51 283408 Robur Fonder AB Robur Contura SEK 2005-11-29 1 1 97,67 97,67 97,67 97,67 283408 Robur Fonder AB Robur Contura SEK 2005-11-30 1 1 97,34 97,34 97,34 97,34 283408 Robur Fonder AB Robur Contura SEK 2005-12-01 1 1 98,5 98,5 98,5 98,5 283408 Robur Fonder AB Robur Contura SEK 2005-12-02 1 1 99 99 99 99 283408 Robur Fonder AB Robur Contura SEK 2005-12-05 1 1 97,66 97,66 97,66 97,66 283408 Robur Fonder AB Robur Contura SEK 2005-12-06 1 1 97,35 97,35 97,35 97,35 283408 Robur Fonder AB Robur Contura SEK 2005-12-07 1 1 97,58 97,58 97,58 97,58 283408 Robur Fonder AB Robur Contura SEK 2005-12-08 1 1 97,11 97,11 97,11 97,11 283408 Robur Fonder AB Robur Contura SEK 2005-12-12 1 1 95,02 95,02 95,02 95,02 283408 Robur Fonder AB Robur Contura SEK 2005-12-13 1 1 95,1 95,1 95,1 95,1 283408 Robur Fonder AB Robur Contura SEK 2005-12-14 1 1 94,77 94,77 94,77 94,77 283408 Robur Fonder AB Robur Contura SEK 2005-12-15 1 1 94,6 94,6 94,6 94,6 283408 Robur Fonder AB Robur Contura SEK 2005-12-16 1 1 94,75 94,75 94,75 94,75 283408 Robur Fonder AB Robur Contura SEK 2005-12-19 1 1 94,64 94,64 94,64 94,64 283408 Robur Fonder AB Robur Contura SEK 2005-12-20 1 1 93,84 93,84 93,84 93,84 283408 Robur Fonder AB Robur Contura SEK 2005-12-21 1 1 95,42 95,42 95,42 95,42 283408 Robur Fonder AB Robur Contura SEK 2005-12-22 1 1 95,46 95,46 95,46 95,46 283408 Robur Fonder AB Robur Contura SEK 2005-12-23 1 1 96,09 96,09 96,09 96,09 283408 Robur Fonder AB Robur Contura SEK 2005-12-27 1 1 96,3 96,3 96,3 96,3 283408 Robur Fonder AB Robur Contura SEK 2005-12-28 1 1 94,57 94,57 94,57 94,57 283408 Robur Fonder AB Robur Contura SEK 2005-12-29 1 1 95,39 95,39 95,39 95,39 283408 Robur Fonder AB Robur Contura SEK 2005-12-30 1 1 94,19 94,19 94,19 94,19 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-03 1 1 100,54 100,54 100,54 100,54 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-04 1 1 101,59 101,59 101,59 101,59 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-05 1 1 100,83 100,83 100,83 100,83 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-07 1 1 101,65 101,65 101,65 101,65 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-10 1 1 101,98 101,98 101,98 101,98 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-11 1 1 101,18 101,18 101,18 101,18 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-12 1 1 100,63 100,63 100,63 100,63 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-13 1 1 100,99 100,99 100,99 100,99 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-14 1 1 101,33 101,33 101,33 101,33 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-17 1 1 101,84 101,84 101,84 101,84 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-18 1 1 101,59 101,59 101,59 101,59 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-19 1 1 102,17 102,17 102,17 102,17 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-20 1 1 101,61 101,61 101,61 101,61 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-21 1 1 101,47 101,47 101,47 101,47 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-24 1 1 101,08 101,08 101,08 101,08 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-25 1 1 101,79 101,79 101,79 101,79 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-26 1 1 101,85 101,85 101,85 101,85 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-27 1 1 101,84 101,84 101,84 101,84 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-28 1 1 102,32 102,32 102,32 102,32 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-01-31 1 1 102,84 102,84 102,84 102,84 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-01 1 1 103,05 103,05 103,05 103,05 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-02 1 1 103,49 103,49 103,49 103,49 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-03 1 1 103,57 103,57 103,57 103,57 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-04 1 1 104,21 104,21 104,21 104,21 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-07 1 1 105,51 105,51 105,51 105,51 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-08 1 1 105,72 105,72 105,72 105,72 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-09 1 1 105,17 105,17 105,17 105,17 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-10 1 1 104,81 104,81 104,81 104,81 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-11 1 1 104,96 104,96 104,96 104,96 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-14 1 1 105,18 105,18 105,18 105,18 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-15 1 1 105,45 105,45 105,45 105,45 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-16 1 1 105,09 105,09 105,09 105,09 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-17 1 1 105,05 105,05 105,05 105,05 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-18 1 1 104,67 104,67 104,67 104,67 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-21 1 1 104,64 104,64 104,64 104,64 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-22 1 1 103,44 103,44 103,44 103,44 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-23 1 1 102,69 102,69 102,69 102,69 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-24 1 1 102,74 102,74 102,74 102,74 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-25 1 1 103,58 103,58 103,58 103,58 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-02-28 1 1 103,63 103,63 103,63 103,63 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-01 1 1 104,19 104,19 104,19 104,19 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-02 1 1 104,72 104,72 104,72 104,72 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-03 1 1 105,11 105,11 105,11 105,11 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-04 1 1 105,06 105,06 105,06 105,06 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-07 1 1 105,22 105,22 105,22 105,22 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-08 1 1 104,24 104,24 104,24 104,24 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-09 1 1 103,91 103,91 103,91 103,91 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-10 1 1 103,4 103,4 103,4 103,4 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-11 1 1 103,45 103,45 103,45 103,45 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-14 1 1 103,28 103,28 103,28 103,28 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-15 1 1 103,98 103,98 103,98 103,98 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-16 1 1 102,79 102,79 102,79 102,79 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-17 1 1 102,59 102,59 102,59 102,59 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-18 1 1 103,26 103,26 103,26 103,26 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-21 1 1 103,64 103,64 103,64 103,64 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-22 1 1 103,37 103,37 103,37 103,37 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-23 1 1 103,47 103,47 103,47 103,47 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-24 1 1 103,71 103,71 103,71 103,71 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-29 1 1 103,99 103,99 103,99 103,99 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-30 1 1 103,48 103,48 103,48 103,48 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-03-31 1 1 104,52 104,52 104,52 104,52 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-01 1 1 104,87 104,87 104,87 104,87 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-04 1 1 104,32 104,32 104,32 104,32 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-05 1 1 105,22 105,22 105,22 105,22 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-06 1 1 105,43 105,43 105,43 105,43 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-07 1 1 105,29 105,29 105,29 105,29 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-08 1 1 106,27 106,27 106,27 106,27 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-11 1 1 105,19 105,19 105,19 105,19 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-12 1 1 104,91 104,91 104,91 104,91 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-13 1 1 105,49 105,49 105,49 105,49 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-14 1 1 105,13 105,13 105,13 105,13 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-15 1 1 103,61 103,61 103,61 103,61 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-18 1 1 101,66 101,66 101,66 101,66 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-19 1 1 102,2 102,2 102,2 102,2 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-20 1 1 101,86 101,86 101,86 101,86 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-21 1 1 101,19 101,19 101,19 101,19 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-22 1 1 101,94 101,94 101,94 101,94 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-25 1 1 102,52 102,52 102,52 102,52 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-26 1 1 102,14 102,14 102,14 102,14 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-27 1 1 101,11 101,11 101,11 101,11 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-28 1 1 102 102 102 102 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-04-29 1 1 102,13 102,13 102,13 102,13 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-02 1 1 103,61 103,61 103,61 103,61 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-03 1 1 103,66 103,66 103,66 103,66 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-04 1 1 103,64 103,64 103,64 103,64 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-06 1 1 105,08 105,08 105,08 105,08 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-09 1 1 104,72 104,72 104,72 104,72 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-10 1 1 104,55 104,55 104,55 104,55 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-11 1 1 104,73 104,73 104,73 104,73 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-12 1 1 105,49 105,49 105,49 105,49 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-13 1 1 104,83 104,83 104,83 104,83 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-16 1 1 105,12 105,12 105,12 105,12 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-17 1 1 104,9 104,9 104,9 104,9 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-18 1 1 106,08 106,08 106,08 106,08 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-19 1 1 106,91 106,91 106,91 106,91 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-20 1 1 106,86 106,86 106,86 106,86 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-23 1 1 107,21 107,21 107,21 107,21 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-24 1 1 107,39 107,39 107,39 107,39 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-25 1 1 106,87 106,87 106,87 106,87 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-26 1 1 108,26 108,26 108,26 108,26 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-27 1 1 108,14 108,14 108,14 108,14 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-30 1 1 108,82 108,82 108,82 108,82 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-05-31 1 1 108,82 108,82 108,82 108,82 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-01 1 1 109,99 109,99 109,99 109,99 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-02 1 1 109,95 109,95 109,95 109,95 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-03 1 1 109,82 109,82 109,82 109,82 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-07 1 1 110,65 110,65 110,65 110,65 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-08 1 1 110,6 110,6 110,6 110,6 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-09 1 1 110,73 110,73 110,73 110,73 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-10 1 1 111,85 111,85 111,85 111,85 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-13 1 1 112,93 112,93 112,93 112,93 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-14 1 1 113,38 113,38 113,38 113,38 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-15 1 1 113,24 113,24 113,24 113,24 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-16 1 1 113,61 113,61 113,61 113,61 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-17 1 1 113,16 113,16 113,16 113,16 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-20 1 1 113,2 113,2 113,2 113,2 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-21 1 1 114 114 114 114 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-22 1 1 114,78 114,78 114,78 114,78 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-23 1 1 115,91 115,91 115,91 115,91 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-27 1 1 113,68 113,68 113,68 113,68 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-28 1 1 115,31 115,31 115,31 115,31 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-29 1 1 116,53 116,53 116,53 116,53 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-06-30 1 1 116,34 116,34 116,34 116,34 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-01 1 1 117,02 117,02 117,02 117,02 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-04 1 1 117,48 117,48 117,48 117,48 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-05 1 1 116,76 116,76 116,76 116,76 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-06 1 1 116,68 116,68 116,68 116,68 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-07 1 1 115,5 115,5 115,5 115,5 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-08 1 1 116,83 116,83 116,83 116,83 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-11 1 1 117,83 117,83 117,83 117,83 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-12 1 1 116,42 116,42 116,42 116,42 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-13 1 1 116,39 116,39 116,39 116,39 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-14 1 1 117,32 117,32 117,32 117,32 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-15 1 1 117,38 117,38 117,38 117,38 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-18 1 1 117,37 117,37 117,37 117,37 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-19 1 1 118,18 118,18 118,18 118,18 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-20 1 1 117,54 117,54 117,54 117,54 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-21 1 1 117,18 117,18 117,18 117,18 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-22 1 1 117,04 117,04 117,04 117,04 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-25 1 1 117,27 117,27 117,27 117,27 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-26 1 1 117,94 117,94 117,94 117,94 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-27 1 1 117,77 117,77 117,77 117,77 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-28 1 1 117,79 117,79 117,79 117,79 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-07-29 1 1 117,9 117,9 117,9 117,9 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-01 1 1 117,23 117,23 117,23 117,23 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-02 1 1 117,25 117,25 117,25 117,25 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-03 1 1 117,12 117,12 117,12 117,12 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-04 1 1 115,86 115,86 115,86 115,86 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-05 1 1 115,21 115,21 115,21 115,21 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-08 1 1 115,2 115,2 115,2 115,2 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-09 1 1 115,86 115,86 115,86 115,86 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-10 1 1 116,84 116,84 116,84 116,84 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-11 1 1 116,28 116,28 116,28 116,28 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-12 1 1 116,03 116,03 116,03 116,03 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-15 1 1 115,99 115,99 115,99 115,99 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-16 1 1 116,62 116,62 116,62 116,62 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-17 1 1 116,1 116,1 116,1 116,1 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-18 1 1 116,51 116,51 116,51 116,51 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-19 1 1 117,58 117,58 117,58 117,58 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-22 1 1 117,98 117,98 117,98 117,98 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-23 1 1 117,09 117,09 117,09 117,09 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-24 1 1 116,08 116,08 116,08 116,08 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-25 1 1 115,73 115,73 115,73 115,73 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-26 1 1 114,66 114,66 114,66 114,66 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-29 1 1 114,71 114,71 114,71 114,71 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-30 1 1 114,52 114,52 114,52 114,52 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-08-31 1 1 115,57 115,57 115,57 115,57 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-01 1 1 115,32 115,32 115,32 115,32 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-02 1 1 114,36 114,36 114,36 114,36 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-05 1 1 114,82 114,82 114,82 114,82 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-06 1 1 116,02 116,02 116,02 116,02 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-07 1 1 116,39 116,39 116,39 116,39 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-08 1 1 116,6 116,6 116,6 116,6 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-09 1 1 117,15 117,15 117,15 117,15 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-12 1 1 117,9 117,9 117,9 117,9 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-13 1 1 117,77 117,77 117,77 117,77 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-14 1 1 117,73 117,73 117,73 117,73 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-15 1 1 118,31 118,31 118,31 118,31 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-16 1 1 118,69 118,69 118,69 118,69 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-19 1 1 119,1 119,1 119,1 119,1 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-20 1 1 119,42 119,42 119,42 119,42 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-21 1 1 117,69 117,69 117,69 117,69 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-22 1 1 117,46 117,46 117,46 117,46 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-23 1 1 118,57 118,57 118,57 118,57 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-26 1 1 119,96 119,96 119,96 119,96 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-27 1 1 119,7 119,7 119,7 119,7 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-28 1 1 120,43 120,43 120,43 120,43 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-29 1 1 120,03 120,03 120,03 120,03 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-09-30 1 1 120,09 120,09 120,09 120,09 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-03 1 1 120,91 120,91 120,91 120,91 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-04 1 1 121,04 121,04 121,04 121,04 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-05 1 1 119,42 119,42 119,42 119,42 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-06 1 1 116,84 116,84 116,84 116,84 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-07 1 1 117,15 117,15 117,15 117,15 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-10 1 1 117,39 117,39 117,39 117,39 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-11 1 1 118,16 118,16 118,16 118,16 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-12 1 1 117,52 117,52 117,52 117,52 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-13 1 1 117,52 117,52 117,52 117,52 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-14 1 1 117,88 117,88 117,88 117,88 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-17 1 1 118,61 118,61 118,61 118,61 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-18 1 1 118,45 118,45 118,45 118,45 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-19 1 1 117,16 117,16 117,16 117,16 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-20 1 1 118,33 118,33 118,33 118,33 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-21 1 1 117,26 117,26 117,26 117,26 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-24 1 1 118,9 118,9 118,9 118,9 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-25 1 1 118,38 118,38 118,38 118,38 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-26 1 1 118,6 118,6 118,6 118,6 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-27 1 1 117,62 117,62 117,62 117,62 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-28 1 1 117,99 117,99 117,99 117,99 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-10-31 1 1 120,92 120,92 120,92 120,92 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-01 1 1 121,83 121,83 121,83 121,83 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-02 1 1 122,2 122,2 122,2 122,2 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-03 1 1 123,7 123,7 123,7 123,7 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-04 1 1 124,11 124,11 124,11 124,11 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-07 1 1 125,28 125,28 125,28 125,28 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-08 1 1 124,69 124,69 124,69 124,69 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-09 1 1 125,28 125,28 125,28 125,28 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-10 1 1 125,57 125,57 125,57 125,57 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-11 1 1 126,07 126,07 126,07 126,07 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-14 1 1 126,1 126,1 126,1 126,1 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-15 1 1 126,54 126,54 126,54 126,54 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-16 1 1 126,36 126,36 126,36 126,36 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-17 1 1 127,6 127,6 127,6 127,6 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-18 1 1 127,74 127,74 127,74 127,74 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-21 1 1 127,01 127,01 127,01 127,01 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-22 1 1 127,91 127,91 127,91 127,91 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-23 1 1 127,45 127,45 127,45 127,45 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-24 1 1 127,22 127,22 127,22 127,22 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-25 1 1 127,3 127,3 127,3 127,3 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-28 1 1 127,03 127,03 127,03 127,03 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-29 1 1 127,24 127,24 127,24 127,24 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-11-30 1 1 127,05 127,05 127,05 127,05 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-01 1 1 127,98 127,98 127,98 127,98 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-02 1 1 128,36 128,36 128,36 128,36 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-05 1 1 127,29 127,29 127,29 127,29 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-06 1 1 127,2 127,2 127,2 127,2 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-07 1 1 127,57 127,57 127,57 127,57 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-08 1 1 126,95 126,95 126,95 126,95 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-12 1 1 125,86 125,86 125,86 125,86 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-13 1 1 126,04 126,04 126,04 126,04 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-14 1 1 125,81 125,81 125,81 125,81 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-15 1 1 125,32 125,32 125,32 125,32 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-16 1 1 126,14 126,14 126,14 126,14 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-19 1 1 125,52 125,52 125,52 125,52 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-20 1 1 125,34 125,34 125,34 125,34 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-21 1 1 127,34 127,34 127,34 127,34 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-22 1 1 127,51 127,51 127,51 127,51 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-23 1 1 127,67 127,67 127,67 127,67 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-27 1 1 128,15 128,15 128,15 128,15 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-28 1 1 126,44 126,44 126,44 126,44 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-29 1 1 127,19 127,19 127,19 127,19 702381 Robur Fonder AB Robur Ethica Global MEGA SEK 2005-12-30 1 1 126,18 126,18 126,18 126,18 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-03 1 1 15,57 15,57 15,57 15,57 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-04 1 1 15,61 15,61 15,61 15,61 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-05 1 1 15,47 15,47 15,47 15,47 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-07 1 1 15,57 15,57 15,57 15,57 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-10 1 1 15,73 15,73 15,73 15,73 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-11 1 1 15,61 15,61 15,61 15,61 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-12 1 1 15,48 15,48 15,48 15,48 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-13 1 1 15,44 15,44 15,44 15,44 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-14 1 1 15,53 15,53 15,53 15,53 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-17 1 1 15,65 15,65 15,65 15,65 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-18 1 1 15,53 15,53 15,53 15,53 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-19 1 1 15,61 15,61 15,61 15,61 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-20 1 1 15,43 15,43 15,43 15,43 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-21 1 1 15,44 15,44 15,44 15,44 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-24 1 1 15,27 15,27 15,27 15,27 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-25 1 1 15,4 15,4 15,4 15,4 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-26 1 1 15,43 15,43 15,43 15,43 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-27 1 1 15,51 15,51 15,51 15,51 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-28 1 1 15,49 15,49 15,49 15,49 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-01-31 1 1 15,57 15,57 15,57 15,57 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-01 1 1 15,66 15,66 15,66 15,66 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-02 1 1 15,72 15,72 15,72 15,72 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-03 1 1 15,72 15,72 15,72 15,72 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-04 1 1 15,77 15,77 15,77 15,77 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-07 1 1 15,95 15,95 15,95 15,95 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-08 1 1 15,99 15,99 15,99 15,99 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-09 1 1 16,03 16,03 16,03 16,03 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-10 1 1 15,94 15,94 15,94 15,94 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-11 1 1 16,05 16,05 16,05 16,05 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-14 1 1 16,05 16,05 16,05 16,05 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-15 1 1 16,11 16,11 16,11 16,11 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-16 1 1 15,98 15,98 15,98 15,98 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-17 1 1 16,12 16,12 16,12 16,12 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-18 1 1 16,04 16,04 16,04 16,04 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-21 1 1 16,1 16,1 16,1 16,1 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-22 1 1 16 16 16 16 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-23 1 1 16,03 16,03 16,03 16,03 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-24 1 1 16,09 16,09 16,09 16,09 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-25 1 1 16,2 16,2 16,2 16,2 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-02-28 1 1 16,25 16,25 16,25 16,25 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-01 1 1 16,25 16,25 16,25 16,25 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-02 1 1 16,27 16,27 16,27 16,27 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-03 1 1 16,38 16,38 16,38 16,38 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-04 1 1 16,42 16,42 16,42 16,42 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-07 1 1 16,39 16,39 16,39 16,39 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-08 1 1 16,32 16,32 16,32 16,32 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-09 1 1 16,3 16,3 16,3 16,3 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-10 1 1 16,23 16,23 16,23 16,23 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-11 1 1 16,26 16,26 16,26 16,26 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-14 1 1 16,28 16,28 16,28 16,28 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-15 1 1 16,38 16,38 16,38 16,38 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-16 1 1 16,22 16,22 16,22 16,22 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-17 1 1 16,19 16,19 16,19 16,19 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-18 1 1 16,21 16,21 16,21 16,21 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-21 1 1 16,2 16,2 16,2 16,2 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-22 1 1 16,25 16,25 16,25 16,25 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-23 1 1 16,15 16,15 16,15 16,15 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-24 1 1 16,27 16,27 16,27 16,27 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-29 1 1 16,37 16,37 16,37 16,37 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-30 1 1 16,33 16,33 16,33 16,33 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-03-31 1 1 16,43 16,43 16,43 16,43 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-01 1 1 16,47 16,47 16,47 16,47 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-04 1 1 16,47 16,47 16,47 16,47 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-05 1 1 16,62 16,62 16,62 16,62 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-06 1 1 16,71 16,71 16,71 16,71 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-07 1 1 16,77 16,77 16,77 16,77 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-08 1 1 16,85 16,85 16,85 16,85 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-11 1 1 16,89 16,89 16,89 16,89 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-12 1 1 16,85 16,85 16,85 16,85 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-13 1 1 16,93 16,93 16,93 16,93 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-14 1 1 16,99 16,99 16,99 16,99 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-15 1 1 16,78 16,78 16,78 16,78 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-18 1 1 16,58 16,58 16,58 16,58 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-19 1 1 16,66 16,66 16,66 16,66 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-20 1 1 16,7 16,7 16,7 16,7 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-21 1 1 16,71 16,71 16,71 16,71 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-22 1 1 16,85 16,85 16,85 16,85 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-25 1 1 16,87 16,87 16,87 16,87 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-26 1 1 16,73 16,73 16,73 16,73 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-27 1 1 16,37 16,37 16,37 16,37 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-28 1 1 16,29 16,29 16,29 16,29 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-04-29 1 1 16,31 16,31 16,31 16,31 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-02 1 1 16,46 16,46 16,46 16,46 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-03 1 1 16,44 16,44 16,44 16,44 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-04 1 1 16,44 16,44 16,44 16,44 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-06 1 1 16,66 16,66 16,66 16,66 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-09 1 1 16,66 16,66 16,66 16,66 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-10 1 1 16,6 16,6 16,6 16,6 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-11 1 1 16,61 16,61 16,61 16,61 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-12 1 1 16,73 16,73 16,73 16,73 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-13 1 1 16,71 16,71 16,71 16,71 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-16 1 1 16,77 16,77 16,77 16,77 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-17 1 1 16,78 16,78 16,78 16,78 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-18 1 1 16,94 16,94 16,94 16,94 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-19 1 1 17,01 17,01 17,01 17,01 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-20 1 1 17,01 17,01 17,01 17,01 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-23 1 1 17,02 17,02 17,02 17,02 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-24 1 1 17,03 17,03 17,03 17,03 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-25 1 1 17,05 17,05 17,05 17,05 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-26 1 1 17,15 17,15 17,15 17,15 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-27 1 1 17,19 17,19 17,19 17,19 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-30 1 1 17,24 17,24 17,24 17,24 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-05-31 1 1 17,28 17,28 17,28 17,28 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-01 1 1 17,27 17,27 17,27 17,27 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-02 1 1 17,16 17,16 17,16 17,16 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-03 1 1 17,12 17,12 17,12 17,12 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-07 1 1 17,25 17,25 17,25 17,25 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-08 1 1 17,31 17,31 17,31 17,31 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-09 1 1 17,3 17,3 17,3 17,3 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-10 1 1 17,4 17,4 17,4 17,4 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-13 1 1 17,5 17,5 17,5 17,5 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-14 1 1 17,58 17,58 17,58 17,58 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-15 1 1 17,54 17,54 17,54 17,54 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-16 1 1 17,55 17,55 17,55 17,55 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-17 1 1 17,59 17,59 17,59 17,59 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-20 1 1 17,59 17,59 17,59 17,59 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-21 1 1 17,7 17,7 17,7 17,7 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-22 1 1 17,74 17,74 17,74 17,74 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-23 1 1 17,85 17,85 17,85 17,85 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-27 1 1 17,59 17,59 17,59 17,59 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-28 1 1 17,69 17,69 17,69 17,69 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-29 1 1 17,81 17,81 17,81 17,81 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-06-30 1 1 17,84 17,84 17,84 17,84 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-01 1 1 17,94 17,94 17,94 17,94 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-04 1 1 18 18 18 18 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-05 1 1 18,02 18,02 18,02 18,02 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-06 1 1 18 18 18 18 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-07 1 1 17,74 17,74 17,74 17,74 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-08 1 1 17,98 17,98 17,98 17,98 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-11 1 1 18,23 18,23 18,23 18,23 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-12 1 1 18,24 18,24 18,24 18,24 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-13 1 1 18,33 18,33 18,33 18,33 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-14 1 1 18,37 18,37 18,37 18,37 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-15 1 1 18,36 18,36 18,36 18,36 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-18 1 1 18,36 18,36 18,36 18,36 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-19 1 1 18,43 18,43 18,43 18,43 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-20 1 1 18,34 18,34 18,34 18,34 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-21 1 1 18,39 18,39 18,39 18,39 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-22 1 1 18,4 18,4 18,4 18,4 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-25 1 1 18,33 18,33 18,33 18,33 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-26 1 1 18,43 18,43 18,43 18,43 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-27 1 1 18,48 18,48 18,48 18,48 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-28 1 1 18,55 18,55 18,55 18,55 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-07-29 1 1 18,53 18,53 18,53 18,53 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-01 1 1 18,55 18,55 18,55 18,55 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-02 1 1 18,64 18,64 18,64 18,64 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-03 1 1 18,56 18,56 18,56 18,56 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-04 1 1 18,45 18,45 18,45 18,45 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-05 1 1 18,39 18,39 18,39 18,39 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-08 1 1 18,39 18,39 18,39 18,39 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-09 1 1 18,42 18,42 18,42 18,42 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-10 1 1 18,57 18,57 18,57 18,57 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-11 1 1 18,43 18,43 18,43 18,43 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-12 1 1 18,38 18,38 18,38 18,38 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-15 1 1 18,33 18,33 18,33 18,33 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-16 1 1 18,39 18,39 18,39 18,39 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-17 1 1 18,31 18,31 18,31 18,31 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-18 1 1 18,36 18,36 18,36 18,36 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-19 1 1 18,48 18,48 18,48 18,48 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-22 1 1 18,48 18,48 18,48 18,48 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-23 1 1 18,36 18,36 18,36 18,36 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-24 1 1 18,06 18,06 18,06 18,06 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-25 1 1 17,95 17,95 17,95 17,95 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-26 1 1 17,8 17,8 17,8 17,8 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-29 1 1 17,9 17,9 17,9 17,9 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-30 1 1 17,92 17,92 17,92 17,92 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-08-31 1 1 18 18 18 18 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-01 1 1 18,1 18,1 18,1 18,1 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-02 1 1 18,08 18,08 18,08 18,08 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-05 1 1 18,22 18,22 18,22 18,22 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-06 1 1 18,35 18,35 18,35 18,35 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-07 1 1 18,36 18,36 18,36 18,36 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-08 1 1 18,3 18,3 18,3 18,3 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-09 1 1 18,45 18,45 18,45 18,45 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-12 1 1 18,47 18,47 18,47 18,47 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-13 1 1 18,51 18,51 18,51 18,51 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-14 1 1 18,61 18,61 18,61 18,61 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-15 1 1 18,53 18,53 18,53 18,53 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-16 1 1 18,57 18,57 18,57 18,57 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-19 1 1 18,63 18,63 18,63 18,63 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-20 1 1 18,63 18,63 18,63 18,63 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-21 1 1 18,5 18,5 18,5 18,5 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-22 1 1 18,47 18,47 18,47 18,47 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-23 1 1 18,53 18,53 18,53 18,53 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-26 1 1 18,74 18,74 18,74 18,74 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-27 1 1 18,78 18,78 18,78 18,78 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-28 1 1 18,89 18,89 18,89 18,89 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-29 1 1 18,91 18,91 18,91 18,91 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-09-30 1 1 19,02 19,02 19,02 19,02 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-03 1 1 19,13 19,13 19,13 19,13 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-04 1 1 19,1 19,1 19,1 19,1 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-05 1 1 18,95 18,95 18,95 18,95 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-06 1 1 18,78 18,78 18,78 18,78 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-07 1 1 18,78 18,78 18,78 18,78 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-10 1 1 18,88 18,88 18,88 18,88 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-11 1 1 18,9 18,9 18,9 18,9 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-12 1 1 18,75 18,75 18,75 18,75 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-13 1 1 18,49 18,49 18,49 18,49 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-14 1 1 18,48 18,48 18,48 18,48 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-17 1 1 18,52 18,52 18,52 18,52 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-18 1 1 18,4 18,4 18,4 18,4 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-19 1 1 18,15 18,15 18,15 18,15 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-20 1 1 18,22 18,22 18,22 18,22 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-21 1 1 18,08 18,08 18,08 18,08 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-24 1 1 18,27 18,27 18,27 18,27 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-25 1 1 18,46 18,46 18,46 18,46 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-26 1 1 18,54 18,54 18,54 18,54 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-27 1 1 18,34 18,34 18,34 18,34 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-28 1 1 18,31 18,31 18,31 18,31 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-10-31 1 1 18,65 18,65 18,65 18,65 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-01 1 1 18,73 18,73 18,73 18,73 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-02 1 1 18,76 18,76 18,76 18,76 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-03 1 1 19 19 19 19 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-04 1 1 19,02 19,02 19,02 19,02 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-07 1 1 19,12 19,12 19,12 19,12 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-08 1 1 19,14 19,14 19,14 19,14 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-09 1 1 19,14 19,14 19,14 19,14 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-10 1 1 19,21 19,21 19,21 19,21 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-11 1 1 19,4 19,4 19,4 19,4 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-14 1 1 19,45 19,45 19,45 19,45 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-15 1 1 19,36 19,36 19,36 19,36 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-16 1 1 19,39 19,39 19,39 19,39 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-17 1 1 19,48 19,48 19,48 19,48 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-18 1 1 19,55 19,55 19,55 19,55 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-21 1 1 19,57 19,57 19,57 19,57 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-22 1 1 19,57 19,57 19,57 19,57 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-23 1 1 19,59 19,59 19,59 19,59 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-24 1 1 19,53 19,53 19,53 19,53 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-25 1 1 19,57 19,57 19,57 19,57 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-28 1 1 19,56 19,56 19,56 19,56 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-29 1 1 19,59 19,59 19,59 19,59 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-11-30 1 1 19,47 19,47 19,47 19,47 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-01 1 1 19,63 19,63 19,63 19,63 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-02 1 1 19,83 19,83 19,83 19,83 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-05 1 1 19,74 19,74 19,74 19,74 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-06 1 1 19,87 19,87 19,87 19,87 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-07 1 1 19,87 19,87 19,87 19,87 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-08 1 1 19,88 19,88 19,88 19,88 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-12 1 1 19,54 19,54 19,54 19,54 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-13 1 1 19,5 19,5 19,5 19,5 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-14 1 1 19,47 19,47 19,47 19,47 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-15 1 1 19,43 19,43 19,43 19,43 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-16 1 1 19,52 19,52 19,52 19,52 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-19 1 1 19,56 19,56 19,56 19,56 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-20 1 1 19,56 19,56 19,56 19,56 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-21 1 1 19,72 19,72 19,72 19,72 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-22 1 1 19,75 19,75 19,75 19,75 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-23 1 1 19,9 19,9 19,9 19,9 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-27 1 1 20,03 20,03 20,03 20,03 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-28 1 1 20,01 20,01 20,01 20,01 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-29 1 1 20,1 20,1 20,1 20,1 892513 Robur Fonder AB Robur Ethica Miljö Sverige SEK 2005-12-30 1 1 20,03 20,03 20,03 20,03 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-03 1 1 111,48 111,48 111,48 111,48 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-04 1 1 112,36 112,36 112,36 112,36 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-05 1 1 111,45 111,45 111,45 111,45 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-07 1 1 112,01 112,01 112,01 112,01 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-10 1 1 112,87 112,87 112,87 112,87 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-11 1 1 112,11 112,11 112,11 112,11 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-12 1 1 111,1 111,1 111,1 111,1 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-13 1 1 111,2 111,2 111,2 111,2 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-14 1 1 111,84 111,84 111,84 111,84 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-17 1 1 112,6 112,6 112,6 112,6 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-18 1 1 111,99 111,99 111,99 111,99 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-19 1 1 112,78 112,78 112,78 112,78 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-20 1 1 111,98 111,98 111,98 111,98 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-21 1 1 111,82 111,82 111,82 111,82 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-24 1 1 111,06 111,06 111,06 111,06 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-25 1 1 111,98 111,98 111,98 111,98 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-26 1 1 112,14 112,14 112,14 112,14 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-27 1 1 112,32 112,32 112,32 112,32 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-28 1 1 112,44 112,44 112,44 112,44 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-01-31 1 1 113,12 113,12 113,12 113,12 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-01 1 1 113,43 113,43 113,43 113,43 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-02 1 1 113,98 113,98 113,98 113,98 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-03 1 1 113,96 113,96 113,96 113,96 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-04 1 1 114,66 114,66 114,66 114,66 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-07 1 1 116,04 116,04 116,04 116,04 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-08 1 1 116,28 116,28 116,28 116,28 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-09 1 1 116,28 116,28 116,28 116,28 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-10 1 1 115,53 115,53 115,53 115,53 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-11 1 1 115,94 115,94 115,94 115,94 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-14 1 1 116,19 116,19 116,19 116,19 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-15 1 1 116,55 116,55 116,55 116,55 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-16 1 1 115,79 115,79 115,79 115,79 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-17 1 1 116,38 116,38 116,38 116,38 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-18 1 1 115,82 115,82 115,82 115,82 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-21 1 1 116,06 116,06 116,06 116,06 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-22 1 1 115,01 115,01 115,01 115,01 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-23 1 1 114,76 114,76 114,76 114,76 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-24 1 1 115,05 115,05 115,05 115,05 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-25 1 1 115,88 115,88 115,88 115,88 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-02-28 1 1 116,24 116,24 116,24 116,24 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-01 1 1 116,59 116,59 116,59 116,59 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-02 1 1 116,93 116,93 116,93 116,93 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-03 1 1 117,59 117,59 117,59 117,59 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-04 1 1 117,82 117,82 117,82 117,82 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-07 1 1 117,82 117,82 117,82 117,82 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-08 1 1 117,07 117,07 117,07 117,07 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-09 1 1 116,75 116,75 116,75 116,75 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-10 1 1 116,09 116,09 116,09 116,09 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-11 1 1 116,2 116,2 116,2 116,2 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-14 1 1 116,18 116,18 116,18 116,18 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-15 1 1 117,03 117,03 117,03 117,03 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-16 1 1 115,74 115,74 115,74 115,74 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-17 1 1 115,49 115,49 115,49 115,49 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-18 1 1 115,88 115,88 115,88 115,88 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-21 1 1 116,03 116,03 116,03 116,03 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-22 1 1 116,13 116,13 116,13 116,13 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-23 1 1 115,88 115,88 115,88 115,88 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-24 1 1 116,64 116,64 116,64 116,64 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-29 1 1 116,46 116,46 116,46 116,46 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-30 1 1 115,89 115,89 115,89 115,89 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-03-31 1 1 117,02 117,02 117,02 117,02 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-01 1 1 117,29 117,29 117,29 117,29 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-04 1 1 116,86 116,86 116,86 116,86 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-05 1 1 118,03 118,03 118,03 118,03 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-06 1 1 118,52 118,52 118,52 118,52 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-07 1 1 118,6 118,6 118,6 118,6 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-08 1 1 119,34 119,34 119,34 119,34 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-11 1 1 118,86 118,86 118,86 118,86 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-12 1 1 118,65 118,65 118,65 118,65 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-13 1 1 119,45 119,45 119,45 119,45 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-14 1 1 119,42 119,42 119,42 119,42 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-15 1 1 117,75 117,75 117,75 117,75 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-18 1 1 115,7 115,7 115,7 115,7 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-19 1 1 116,36 116,36 116,36 116,36 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-20 1 1 116,31 116,31 116,31 116,31 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-21 1 1 115,8 115,8 115,8 115,8 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-22 1 1 116,83 116,83 116,83 116,83 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-25 1 1 117,13 117,13 117,13 117,13 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-26 1 1 116,62 116,62 116,62 116,62 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-27 1 1 114,7 114,7 114,7 114,7 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-28 1 1 114,93 114,93 114,93 114,93 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-04-29 1 1 115,04 115,04 115,04 115,04 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-02 1 1 116,46 116,46 116,46 116,46 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-03 1 1 116,29 116,29 116,29 116,29 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-04 1 1 116,33 116,33 116,33 116,33 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-06 1 1 117,89 117,89 117,89 117,89 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-09 1 1 117,64 117,64 117,64 117,64 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-10 1 1 117,28 117,28 117,28 117,28 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-11 1 1 117,43 117,43 117,43 117,43 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-12 1 1 118,32 118,32 118,32 118,32 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-13 1 1 117,86 117,86 117,86 117,86 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-16 1 1 118,26 118,26 118,26 118,26 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-17 1 1 118,41 118,41 118,41 118,41 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-18 1 1 119,81 119,81 119,81 119,81 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-19 1 1 120,46 120,46 120,46 120,46 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-20 1 1 120,31 120,31 120,31 120,31 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-23 1 1 120,59 120,59 120,59 120,59 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-24 1 1 120,7 120,7 120,7 120,7 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-25 1 1 120,57 120,57 120,57 120,57 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-26 1 1 121,8 121,8 121,8 121,8 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-27 1 1 121,84 121,84 121,84 121,84 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-30 1 1 122,38 122,38 122,38 122,38 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-05-31 1 1 122,69 122,69 122,69 122,69 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-01 1 1 123,41 123,41 123,41 123,41 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-02 1 1 123,09 123,09 123,09 123,09 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-03 1 1 120,19 120,19 120,19 120,19 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-07 1 1 121,16 121,16 121,16 121,16 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-08 1 1 121,4 121,4 121,4 121,4 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-09 1 1 121,46 121,46 121,46 121,46 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-10 1 1 122,42 122,42 122,42 122,42 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-13 1 1 123,29 123,29 123,29 123,29 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-14 1 1 123,83 123,83 123,83 123,83 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-15 1 1 123,59 123,59 123,59 123,59 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-16 1 1 123,86 123,86 123,86 123,86 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-17 1 1 123,84 123,84 123,84 123,84 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-20 1 1 123,86 123,86 123,86 123,86 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-21 1 1 124,74 124,74 124,74 124,74 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-22 1 1 125,31 125,31 125,31 125,31 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-23 1 1 126,17 126,17 126,17 126,17 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-27 1 1 124,03 124,03 124,03 124,03 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-28 1 1 125,31 125,31 125,31 125,31 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-29 1 1 126,29 126,29 126,29 126,29 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-06-30 1 1 126,28 126,28 126,28 126,28 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-01 1 1 126,91 126,91 126,91 126,91 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-04 1 1 127,46 127,46 127,46 127,46 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-05 1 1 127,14 127,14 127,14 127,14 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-06 1 1 127,14 127,14 127,14 127,14 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-07 1 1 125,49 125,49 125,49 125,49 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-08 1 1 126,94 126,94 126,94 126,94 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-11 1 1 128,35 128,35 128,35 128,35 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-12 1 1 127,65 127,65 127,65 127,65 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-13 1 1 128,13 128,13 128,13 128,13 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-14 1 1 128,74 128,74 128,74 128,74 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-15 1 1 128,74 128,74 128,74 128,74 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-18 1 1 128,82 128,82 128,82 128,82 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-19 1 1 129,4 129,4 129,4 129,4 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-20 1 1 128,72 128,72 128,72 128,72 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-21 1 1 129,14 129,14 129,14 129,14 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-22 1 1 129,19 129,19 129,19 129,19 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-25 1 1 129,07 129,07 129,07 129,07 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-26 1 1 129,44 129,44 129,44 129,44 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-27 1 1 129,62 129,62 129,62 129,62 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-28 1 1 130,07 130,07 130,07 130,07 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-07-29 1 1 130,01 130,01 130,01 130,01 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-01 1 1 129,68 129,68 129,68 129,68 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-02 1 1 130,14 130,14 130,14 130,14 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-03 1 1 130,14 130,14 130,14 130,14 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-04 1 1 129,17 129,17 129,17 129,17 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-05 1 1 128,69 128,69 128,69 128,69 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-08 1 1 128,63 128,63 128,63 128,63 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-09 1 1 129,09 129,09 129,09 129,09 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-10 1 1 130,36 130,36 130,36 130,36 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-11 1 1 129,65 129,65 129,65 129,65 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-12 1 1 129,44 129,44 129,44 129,44 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-15 1 1 129,25 129,25 129,25 129,25 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-16 1 1 129,86 129,86 129,86 129,86 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-17 1 1 129,19 129,19 129,19 129,19 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-18 1 1 129,59 129,59 129,59 129,59 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-19 1 1 130,55 130,55 130,55 130,55 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-22 1 1 130,86 130,86 130,86 130,86 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-23 1 1 129,9 129,9 129,9 129,9 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-24 1 1 128,22 128,22 128,22 128,22 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-25 1 1 127,52 127,52 127,52 127,52 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-26 1 1 126,4 126,4 126,4 126,4 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-29 1 1 126,62 126,62 126,62 126,62 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-30 1 1 127,2 127,2 127,2 127,2 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-08-31 1 1 127,52 127,52 127,52 127,52 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-01 1 1 127,67 127,67 127,67 127,67 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-02 1 1 127,11 127,11 127,11 127,11 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-05 1 1 127,94 127,94 127,94 127,94 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-06 1 1 129,12 129,12 129,12 129,12 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-07 1 1 129,47 129,47 129,47 129,47 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-08 1 1 129,41 129,41 129,41 129,41 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-09 1 1 130,19 130,19 130,19 130,19 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-12 1 1 130,81 130,81 130,81 130,81 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-13 1 1 130,67 130,67 130,67 130,67 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-14 1 1 130,85 130,85 130,85 130,85 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-15 1 1 130,91 130,91 130,91 130,91 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-16 1 1 131,33 131,33 131,33 131,33 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-19 1 1 131,81 131,81 131,81 131,81 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-20 1 1 131,96 131,96 131,96 131,96 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-21 1 1 130,65 130,65 130,65 130,65 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-22 1 1 130,47 130,47 130,47 130,47 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-23 1 1 131,31 131,31 131,31 131,31 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-26 1 1 132,91 132,91 132,91 132,91 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-27 1 1 132,96 132,96 132,96 132,96 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-28 1 1 133,87 133,87 133,87 133,87 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-29 1 1 133,81 133,81 133,81 133,81 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-09-30 1 1 134,28 134,28 134,28 134,28 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-03 1 1 135,21 135,21 135,21 135,21 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-04 1 1 135,24 135,24 135,24 135,24 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-05 1 1 133,72 133,72 133,72 133,72 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-06 1 1 131,54 131,54 131,54 131,54 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-07 1 1 131,7 131,7 131,7 131,7 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-10 1 1 132,18 132,18 132,18 132,18 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-11 1 1 132,61 132,61 132,61 132,61 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-12 1 1 131,72 131,72 131,72 131,72 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-13 1 1 130,83 130,83 130,83 130,83 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-14 1 1 131,04 131,04 131,04 131,04 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-17 1 1 131,51 131,51 131,51 131,51 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-18 1 1 131,1 131,1 131,1 131,1 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-19 1 1 129,36 129,36 129,36 129,36 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-20 1 1 130,29 130,29 130,29 130,29 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-21 1 1 129,1 129,1 129,1 129,1 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-24 1 1 130,63 130,63 130,63 130,63 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-25 1 1 130,81 130,81 130,81 130,81 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-26 1 1 131,32 131,32 131,32 131,32 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-27 1 1 130,17 130,17 130,17 130,17 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-28 1 1 130,29 130,29 130,29 130,29 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-10-31 1 1 133,32 133,32 133,32 133,32 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-01 1 1 134,14 134,14 134,14 134,14 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-02 1 1 134,45 134,45 134,45 134,45 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-03 1 1 136,01 136,01 136,01 136,01 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-04 1 1 136,37 136,37 136,37 136,37 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-07 1 1 137,41 137,41 137,41 137,41 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-08 1 1 137,01 137,01 137,01 137,01 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-09 1 1 137,44 137,44 137,44 137,44 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-10 1 1 137,65 137,65 137,65 137,65 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-11 1 1 138,66 138,66 138,66 138,66 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-14 1 1 138,91 138,91 138,91 138,91 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-15 1 1 139,02 139,02 139,02 139,02 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-16 1 1 139 139 139 139 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-17 1 1 139,94 139,94 139,94 139,94 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-18 1 1 140,32 140,32 140,32 140,32 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-21 1 1 139,95 139,95 139,95 139,95 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-22 1 1 140,51 140,51 140,51 140,51 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-23 1 1 140,16 140,16 140,16 140,16 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-24 1 1 139,86 139,86 139,86 139,86 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-25 1 1 140,08 140,08 140,08 140,08 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-28 1 1 139,97 139,97 139,97 139,97 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-29 1 1 140,08 140,08 140,08 140,08 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-11-30 1 1 139,47 139,47 139,47 139,47 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-01 1 1 140,65 140,65 140,65 140,65 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-02 1 1 141,67 141,67 141,67 141,67 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-05 1 1 140,8 140,8 140,8 140,8 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-06 1 1 141,2 141,2 141,2 141,2 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-07 1 1 141,42 141,42 141,42 141,42 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-08 1 1 141,05 141,05 141,05 141,05 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-12 1 1 141,53 141,53 141,53 141,53 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-13 1 1 141,39 141,39 141,39 141,39 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-14 1 1 140,95 140,95 140,95 140,95 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-15 1 1 140,51 140,51 140,51 140,51 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-16 1 1 141,38 141,38 141,38 141,38 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-19 1 1 141,3 141,3 141,3 141,3 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-20 1 1 141,09 141,09 141,09 141,09 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-21 1 1 142,71 142,71 142,71 142,71 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-22 1 1 142,96 142,96 142,96 142,96 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-23 1 1 143,68 143,68 143,68 143,68 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-27 1 1 144,42 144,42 144,42 144,42 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-28 1 1 143,35 143,35 143,35 143,35 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-29 1 1 144,07 144,07 144,07 144,07 641704 Robur Fonder AB Robur Ethica Sverige Global SEK 2005-12-30 1 1 143,31 143,31 143,31 143,31 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-03 1 1 162,23 162,23 162,23 162,23 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-04 1 1 163,06 163,06 163,06 163,06 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-05 1 1 161,59 161,59 161,59 161,59 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-07 1 1 162,01 162,01 162,01 162,01 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-10 1 1 164,07 164,07 164,07 164,07 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-11 1 1 162,92 162,92 162,92 162,92 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-12 1 1 160,95 160,95 160,95 160,95 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-13 1 1 160,55 160,55 160,55 160,55 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-14 1 1 161,46 161,46 161,46 161,46 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-17 1 1 162,8 162,8 162,8 162,8 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-18 1 1 161,4 161,4 161,4 161,4 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-19 1 1 162,8 162,8 162,8 162,8 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-20 1 1 161,23 161,23 161,23 161,23 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-21 1 1 161,1 161,1 161,1 161,1 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-24 1 1 159,33 159,33 159,33 159,33 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-25 1 1 161,01 161,01 161,01 161,01 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-26 1 1 161,7 161,7 161,7 161,7 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-27 1 1 162,21 162,21 162,21 162,21 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-28 1 1 161,58 161,58 161,58 161,58 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-01-31 1 1 162,91 162,91 162,91 162,91 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-01 1 1 163,53 163,53 163,53 163,53 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-02 1 1 164,53 164,53 164,53 164,53 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-03 1 1 164,2 164,2 164,2 164,2 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-04 1 1 165,19 165,19 165,19 165,19 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-07 1 1 167,03 167,03 167,03 167,03 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-08 1 1 167,36 167,36 167,36 167,36 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-09 1 1 168,25 168,25 168,25 168,25 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-10 1 1 166,66 166,66 166,66 166,66 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-11 1 1 167,86 167,86 167,86 167,86 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-14 1 1 168,16 168,16 168,16 168,16 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-15 1 1 168,97 168,97 168,97 168,97 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-16 1 1 166,98 166,98 166,98 166,98 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-17 1 1 168,36 168,36 168,36 168,36 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-18 1 1 167,18 167,18 167,18 167,18 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-21 1 1 167,62 167,62 167,62 167,62 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-22 1 1 166,56 166,56 166,56 166,56 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-23 1 1 167,13 167,13 167,13 167,13 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-24 1 1 167,75 167,75 167,75 167,75 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-25 1 1 168,8 168,8 168,8 168,8 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-02-28 1 1 169,54 169,54 169,54 169,54 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-01 1 1 169,71 169,71 169,71 169,71 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-02 1 1 169,94 169,94 169,94 169,94 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-03 1 1 171,05 171,05 171,05 171,05 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-04 1 1 171,62 171,62 171,62 171,62 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-07 1 1 171,37 171,37 171,37 171,37 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-08 1 1 170,9 170,9 170,9 170,9 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-09 1 1 170,58 170,58 170,58 170,58 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-10 1 1 169,41 169,41 169,41 169,41 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-11 1 1 169,59 169,59 169,59 169,59 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-14 1 1 169,69 169,69 169,69 169,69 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-15 1 1 170,98 170,98 170,98 170,98 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-16 1 1 169,19 169,19 169,19 169,19 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-17 1 1 168,73 168,73 168,73 168,73 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-18 1 1 168,72 168,72 168,72 168,72 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-21 1 1 168,37 168,37 168,37 168,37 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-22 1 1 169,15 169,15 169,15 169,15 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-23 1 1 168,28 168,28 168,28 168,28 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-24 1 1 170,09 170,09 170,09 170,09 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-29 1 1 170,01 170,01 170,01 170,01 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-30 1 1 169,31 169,31 169,31 169,31 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-03-31 1 1 170,84 170,84 170,84 170,84 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-01 1 1 171,09 171,09 171,09 171,09 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-04 1 1 170,95 170,95 170,95 170,95 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-05 1 1 172,65 172,65 172,65 172,65 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-06 1 1 173,4 173,4 173,4 173,4 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-07 1 1 173,78 173,78 173,78 173,78 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-08 1 1 174,46 174,46 174,46 174,46 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-11 1 1 174,99 174,99 174,99 174,99 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-12 1 1 174,78 174,78 174,78 174,78 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-13 1 1 176,06 176,06 176,06 176,06 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-14 1 1 176,75 176,75 176,75 176,75 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-15 1 1 174,56 174,56 174,56 174,56 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-18 1 1 172,11 172,11 172,11 172,11 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-19 1 1 172,8 172,8 172,8 172,8 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-20 1 1 173,06 173,06 173,06 173,06 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-21 1 1 172,86 172,86 172,86 172,86 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-22 1 1 174,37 174,37 174,37 174,37 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-25 1 1 174,29 174,29 174,29 174,29 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-26 1 1 172,67 172,67 172,67 172,67 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-27 1 1 168,99 168,99 168,99 168,99 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-28 1 1 167,85 167,85 167,85 167,85 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-04-29 1 1 168,14 168,14 168,14 168,14 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-02 1 1 169,7 169,7 169,7 169,7 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-03 1 1 169,51 169,51 169,51 169,51 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-04 1 1 169,63 169,63 169,63 169,63 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-06 1 1 171,69 171,69 171,69 171,69 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-09 1 1 171,62 171,62 171,62 171,62 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-10 1 1 170,9 170,9 170,9 170,9 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-11 1 1 171,07 171,07 171,07 171,07 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-12 1 1 172,33 172,33 172,33 172,33 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-13 1 1 172,1 172,1 172,1 172,1 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-16 1 1 172,64 172,64 172,64 172,64 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-17 1 1 173,04 173,04 173,04 173,04 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-18 1 1 174,75 174,75 174,75 174,75 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-19 1 1 175,35 175,35 175,35 175,35 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-20 1 1 175,29 175,29 175,29 175,29 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-23 1 1 175,27 175,27 175,27 175,27 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-24 1 1 175,48 175,48 175,48 175,48 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-25 1 1 175,64 175,64 175,64 175,64 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-26 1 1 177 177 177 177 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-27 1 1 177,26 177,26 177,26 177,26 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-30 1 1 177,75 177,75 177,75 177,75 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-05-31 1 1 178,36 178,36 178,36 178,36 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-01 1 1 178,4 178,4 178,4 178,4 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-02 1 1 177,28 177,28 177,28 177,28 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-03 1 1 176,81 176,81 176,81 176,81 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-07 1 1 178,2 178,2 178,2 178,2 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-08 1 1 178,75 178,75 178,75 178,75 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-09 1 1 178,77 178,77 178,77 178,77 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-10 1 1 179,65 179,65 179,65 179,65 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-13 1 1 180,33 180,33 180,33 180,33 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-14 1 1 181,46 181,46 181,46 181,46 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-15 1 1 180,95 180,95 180,95 180,95 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-16 1 1 181,36 181,36 181,36 181,36 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-17 1 1 181,94 181,94 181,94 181,94 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-20 1 1 181,85 181,85 181,85 181,85 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-21 1 1 182,95 182,95 182,95 182,95 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-22 1 1 183,3 183,3 183,3 183,3 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-23 1 1 184,19 184,19 184,19 184,19 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-27 1 1 181,36 181,36 181,36 181,36 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-28 1 1 182,47 182,47 182,47 182,47 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-29 1 1 183,63 183,63 183,63 183,63 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-06-30 1 1 184,07 184,07 184,07 184,07 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-01 1 1 185,07 185,07 185,07 185,07 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-04 1 1 185,82 185,82 185,82 185,82 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-05 1 1 185,91 185,91 185,91 185,91 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-06 1 1 185,98 185,98 185,98 185,98 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-07 1 1 183,09 183,09 183,09 183,09 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-08 1 1 185,59 185,59 185,59 185,59 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-11 1 1 188,22 188,22 188,22 188,22 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-12 1 1 188,42 188,42 188,42 188,42 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-13 1 1 189,63 189,63 189,63 189,63 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-14 1 1 189,69 189,69 189,69 189,69 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-15 1 1 189,5 189,5 189,5 189,5 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-18 1 1 189,71 189,71 189,71 189,71 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-19 1 1 190,35 190,35 190,35 190,35 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-20 1 1 189,41 189,41 189,41 189,41 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-21 1 1 190,97 190,97 190,97 190,97 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-22 1 1 191,46 191,46 191,46 191,46 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-25 1 1 190,84 190,84 190,84 190,84 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-26 1 1 191,73 191,73 191,73 191,73 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-27 1 1 192,18 192,18 192,18 192,18 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-28 1 1 193,3 193,3 193,3 193,3 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-07-29 1 1 193,06 193,06 193,06 193,06 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-01 1 1 193,24 193,24 193,24 193,24 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-02 1 1 194,52 194,52 194,52 194,52 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-03 1 1 193,94 193,94 193,94 193,94 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-04 1 1 193,13 193,13 193,13 193,13 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-05 1 1 192,77 192,77 192,77 192,77 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-08 1 1 192,63 192,63 192,63 192,63 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-09 1 1 192,91 192,91 192,91 192,91 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-10 1 1 195,04 195,04 195,04 195,04 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-11 1 1 193,86 193,86 193,86 193,86 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-12 1 1 193,42 193,42 193,42 193,42 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-15 1 1 193,01 193,01 193,01 193,01 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-16 1 1 193,56 193,56 193,56 193,56 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-17 1 1 192,57 192,57 192,57 192,57 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-18 1 1 193,1 193,1 193,1 193,1 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-19 1 1 194,3 194,3 194,3 194,3 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-22 1 1 194,33 194,33 194,33 194,33 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-23 1 1 193,07 193,07 193,07 193,07 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-24 1 1 190,07 190,07 190,07 190,07 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-25 1 1 188,68 188,68 188,68 188,68 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-26 1 1 187,16 187,16 187,16 187,16 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-29 1 1 188,03 188,03 188,03 188,03 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-30 1 1 188,18 188,18 188,18 188,18 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-08-31 1 1 189,12 189,12 189,12 189,12 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-01 1 1 190,06 190,06 190,06 190,06 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-02 1 1 189,92 189,92 189,92 189,92 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-05 1 1 191,59 191,59 191,59 191,59 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-06 1 1 192,93 192,93 192,93 192,93 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-07 1 1 193,17 193,17 193,17 193,17 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-08 1 1 192,59 192,59 192,59 192,59 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-09 1 1 193,94 193,94 193,94 193,94 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-12 1 1 194,41 194,41 194,41 194,41 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-13 1 1 194,34 194,34 194,34 194,34 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-14 1 1 195,32 195,32 195,32 195,32 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-15 1 1 194,5 194,5 194,5 194,5 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-16 1 1 195,04 195,04 195,04 195,04 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-19 1 1 195,57 195,57 195,57 195,57 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-20 1 1 195,43 195,43 195,43 195,43 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-21 1 1 194,34 194,34 194,34 194,34 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-22 1 1 194,12 194,12 194,12 194,12 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-23 1 1 194,83 194,83 194,83 194,83 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-26 1 1 197,24 197,24 197,24 197,24 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-27 1 1 197,74 197,74 197,74 197,74 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-28 1 1 199,12 199,12 199,12 199,12 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-29 1 1 199,49 199,49 199,49 199,49 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-09-30 1 1 200,83 200,83 200,83 200,83 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-03 1 1 202,11 202,11 202,11 202,11 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-04 1 1 201,79 201,79 201,79 201,79 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-05 1 1 200,28 200,28 200,28 200,28 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-06 1 1 198,44 198,44 198,44 198,44 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-07 1 1 198,53 198,53 198,53 198,53 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-10 1 1 199,46 199,46 199,46 199,46 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-11 1 1 199,7 199,7 199,7 199,7 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-12 1 1 198,14 198,14 198,14 198,14 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-13 1 1 195,48 195,48 195,48 195,48 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-14 1 1 195,48 195,48 195,48 195,48 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-17 1 1 195,74 195,74 195,74 195,74 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-18 1 1 194,65 194,65 194,65 194,65 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-19 1 1 191,88 191,88 191,88 191,88 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-20 1 1 192,56 192,56 192,56 192,56 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-21 1 1 191,03 191,03 191,03 191,03 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-24 1 1 192,9 192,9 192,9 192,9 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-25 1 1 194,99 194,99 194,99 194,99 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-26 1 1 195,96 195,96 195,96 195,96 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-27 1 1 194,03 194,03 194,03 194,03 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-28 1 1 193,77 193,77 193,77 193,77 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-10-31 1 1 197,83 197,83 197,83 197,83 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-01 1 1 198,45 198,45 198,45 198,45 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-02 1 1 198,85 198,85 198,85 198,85 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-03 1 1 200,82 200,82 200,82 200,82 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-04 1 1 201,22 201,22 201,22 201,22 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-07 1 1 202,14 202,14 202,14 202,14 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-08 1 1 202,15 202,15 202,15 202,15 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-09 1 1 202,27 202,27 202,27 202,27 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-10 1 1 202,7 202,7 202,7 202,7 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-11 1 1 204,84 204,84 204,84 204,84 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-14 1 1 205,28 205,28 205,28 205,28 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-15 1 1 204,6 204,6 204,6 204,6 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-16 1 1 204,76 204,76 204,76 204,76 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-17 1 1 205,56 205,56 205,56 205,56 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-18 1 1 206,42 206,42 206,42 206,42 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-21 1 1 206,63 206,63 206,63 206,63 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-22 1 1 206,72 206,72 206,72 206,72 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-23 1 1 207,1 207,1 207,1 207,1 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-24 1 1 206,47 206,47 206,47 206,47 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-25 1 1 207,05 207,05 207,05 207,05 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-28 1 1 207,05 207,05 207,05 207,05 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-29 1 1 207,34 207,34 207,34 207,34 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-11-30 1 1 205,91 205,91 205,91 205,91 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-01 1 1 207,9 207,9 207,9 207,9 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-02 1 1 210,15 210,15 210,15 210,15 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-05 1 1 209,24 209,24 209,24 209,24 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-06 1 1 210,69 210,69 210,69 210,69 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-07 1 1 210,64 210,64 210,64 210,64 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-08 1 1 210,79 210,79 210,79 210,79 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-12 1 1 210,83 210,83 210,83 210,83 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-13 1 1 210,26 210,26 210,26 210,26 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-14 1 1 209,45 209,45 209,45 209,45 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-15 1 1 209,12 209,12 209,12 209,12 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-16 1 1 210,26 210,26 210,26 210,26 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-19 1 1 210,74 210,74 210,74 210,74 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-20 1 1 210,31 210,31 210,31 210,31 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-21 1 1 211,87 211,87 211,87 211,87 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-22 1 1 212,38 212,38 212,38 212,38 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-23 1 1 214,16 214,16 214,16 214,16 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-27 1 1 215,56 215,56 215,56 215,56 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-28 1 1 215,23 215,23 215,23 215,23 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-29 1 1 216,14 216,14 216,14 216,14 902783 Robur Fonder AB Robur Ethica Sverige MEGA SEK 2005-12-30 1 1 215,34 215,34 215,34 215,34 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-03 1 1 6,16 6,16 6,16 6,16 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-04 1 1 6,21 6,21 6,21 6,21 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-05 1 1 6,17 6,17 6,17 6,17 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-07 1 1 6,21 6,21 6,21 6,21 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-10 1 1 6,23 6,23 6,23 6,23 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-11 1 1 6,16 6,16 6,16 6,16 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-12 1 1 6,15 6,15 6,15 6,15 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-13 1 1 6,15 6,15 6,15 6,15 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-14 1 1 6,17 6,17 6,17 6,17 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-17 1 1 6,2 6,2 6,2 6,2 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-18 1 1 6,17 6,17 6,17 6,17 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-19 1 1 6,21 6,21 6,21 6,21 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-20 1 1 6,17 6,17 6,17 6,17 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-21 1 1 6,17 6,17 6,17 6,17 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-24 1 1 6,16 6,16 6,16 6,16 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-25 1 1 6,22 6,22 6,22 6,22 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-26 1 1 6,25 6,25 6,25 6,25 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-27 1 1 6,24 6,24 6,24 6,24 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-28 1 1 6,26 6,26 6,26 6,26 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-01-31 1 1 6,29 6,29 6,29 6,29 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-01 1 1 6,3 6,3 6,3 6,3 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-02 1 1 6,33 6,33 6,33 6,33 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-03 1 1 6,32 6,32 6,32 6,32 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-04 1 1 6,37 6,37 6,37 6,37 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-07 1 1 6,43 6,43 6,43 6,43 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-08 1 1 6,43 6,43 6,43 6,43 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-09 1 1 6,42 6,42 6,42 6,42 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-10 1 1 6,43 6,43 6,43 6,43 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-11 1 1 6,46 6,46 6,46 6,46 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-14 1 1 6,48 6,48 6,48 6,48 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-15 1 1 6,5 6,5 6,5 6,5 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-16 1 1 6,47 6,47 6,47 6,47 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-17 1 1 6,5 6,5 6,5 6,5 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-18 1 1 6,49 6,49 6,49 6,49 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-21 1 1 6,5 6,5 6,5 6,5 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-22 1 1 6,44 6,44 6,44 6,44 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-23 1 1 6,4 6,4 6,4 6,4 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-24 1 1 6,4 6,4 6,4 6,4 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-25 1 1 6,45 6,45 6,45 6,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-02-28 1 1 6,42 6,42 6,42 6,42 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-01 1 1 6,45 6,45 6,45 6,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-02 1 1 6,45 6,45 6,45 6,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-03 1 1 6,47 6,47 6,47 6,47 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-04 1 1 6,49 6,49 6,49 6,49 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-07 1 1 6,48 6,48 6,48 6,48 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-08 1 1 6,45 6,45 6,45 6,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-09 1 1 6,43 6,43 6,43 6,43 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-10 1 1 6,41 6,41 6,41 6,41 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-11 1 1 6,41 6,41 6,41 6,41 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-14 1 1 6,39 6,39 6,39 6,39 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-15 1 1 6,45 6,45 6,45 6,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-16 1 1 6,39 6,39 6,39 6,39 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-17 1 1 6,38 6,38 6,38 6,38 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-18 1 1 6,41 6,41 6,41 6,41 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-21 1 1 6,41 6,41 6,41 6,41 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-22 1 1 6,4 6,4 6,4 6,4 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-23 1 1 6,37 6,37 6,37 6,37 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-24 1 1 6,39 6,39 6,39 6,39 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-29 1 1 6,41 6,41 6,41 6,41 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-30 1 1 6,4 6,4 6,4 6,4 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-03-31 1 1 6,45 6,45 6,45 6,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-01 1 1 6,47 6,47 6,47 6,47 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-04 1 1 6,43 6,43 6,43 6,43 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-05 1 1 6,49 6,49 6,49 6,49 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-06 1 1 6,5 6,5 6,5 6,5 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-07 1 1 6,53 6,53 6,53 6,53 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-08 1 1 6,56 6,56 6,56 6,56 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-11 1 1 6,54 6,54 6,54 6,54 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-12 1 1 6,52 6,52 6,52 6,52 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-13 1 1 6,54 6,54 6,54 6,54 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-14 1 1 6,54 6,54 6,54 6,54 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-15 1 1 6,47 6,47 6,47 6,47 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-18 1 1 6,36 6,36 6,36 6,36 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-19 1 1 6,4 6,4 6,4 6,4 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-20 1 1 6,37 6,37 6,37 6,37 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-21 1 1 6,36 6,36 6,36 6,36 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-22 1 1 6,39 6,39 6,39 6,39 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-25 1 1 6,4 6,4 6,4 6,4 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-26 1 1 6,36 6,36 6,36 6,36 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-27 1 1 6,29 6,29 6,29 6,29 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-28 1 1 6,31 6,31 6,31 6,31 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-04-29 1 1 6,33 6,33 6,33 6,33 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-02 1 1 6,37 6,37 6,37 6,37 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-03 1 1 6,38 6,38 6,38 6,38 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-04 1 1 6,39 6,39 6,39 6,39 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-06 1 1 6,47 6,47 6,47 6,47 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-09 1 1 6,45 6,45 6,45 6,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-10 1 1 6,43 6,43 6,43 6,43 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-11 1 1 6,44 6,44 6,44 6,44 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-12 1 1 6,47 6,47 6,47 6,47 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-13 1 1 6,44 6,44 6,44 6,44 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-16 1 1 6,45 6,45 6,45 6,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-17 1 1 6,44 6,44 6,44 6,44 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-18 1 1 6,51 6,51 6,51 6,51 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-19 1 1 6,55 6,55 6,55 6,55 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-20 1 1 6,54 6,54 6,54 6,54 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-23 1 1 6,57 6,57 6,57 6,57 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-24 1 1 6,56 6,56 6,56 6,56 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-25 1 1 6,55 6,55 6,55 6,55 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-26 1 1 6,61 6,61 6,61 6,61 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-27 1 1 6,6 6,6 6,6 6,6 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-30 1 1 6,63 6,63 6,63 6,63 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-05-31 1 1 6,63 6,63 6,63 6,63 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-01 1 1 6,67 6,67 6,67 6,67 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-02 1 1 6,69 6,69 6,69 6,69 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-03 1 1 6,67 6,67 6,67 6,67 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-07 1 1 6,74 6,74 6,74 6,74 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-08 1 1 6,75 6,75 6,75 6,75 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-09 1 1 6,76 6,76 6,76 6,76 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-10 1 1 6,82 6,82 6,82 6,82 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-13 1 1 6,87 6,87 6,87 6,87 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-14 1 1 6,9 6,9 6,9 6,9 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-15 1 1 6,89 6,89 6,89 6,89 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-16 1 1 6,91 6,91 6,91 6,91 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-17 1 1 6,92 6,92 6,92 6,92 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-20 1 1 6,9 6,9 6,9 6,9 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-21 1 1 6,94 6,94 6,94 6,94 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-22 1 1 7 7 7 7 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-23 1 1 7,05 7,05 7,05 7,05 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-27 1 1 6,96 6,96 6,96 6,96 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-28 1 1 7,03 7,03 7,03 7,03 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-29 1 1 7,09 7,09 7,09 7,09 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-06-30 1 1 7,1 7,1 7,1 7,1 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-01 1 1 7,14 7,14 7,14 7,14 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-04 1 1 7,16 7,16 7,16 7,16 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-05 1 1 7,11 7,11 7,11 7,11 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-06 1 1 7,13 7,13 7,13 7,13 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-07 1 1 7,03 7,03 7,03 7,03 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-08 1 1 7,14 7,14 7,14 7,14 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-11 1 1 7,21 7,21 7,21 7,21 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-12 1 1 7,16 7,16 7,16 7,16 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-13 1 1 7,16 7,16 7,16 7,16 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-14 1 1 7,22 7,22 7,22 7,22 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-15 1 1 7,19 7,19 7,19 7,19 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-18 1 1 7,19 7,19 7,19 7,19 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-19 1 1 7,24 7,24 7,24 7,24 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-20 1 1 7,24 7,24 7,24 7,24 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-21 1 1 7,26 7,26 7,26 7,26 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-22 1 1 7,24 7,24 7,24 7,24 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-25 1 1 7,25 7,25 7,25 7,25 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-26 1 1 7,29 7,29 7,29 7,29 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-27 1 1 7,31 7,31 7,31 7,31 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-28 1 1 7,31 7,31 7,31 7,31 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-07-29 1 1 7,33 7,33 7,33 7,33 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-01 1 1 7,33 7,33 7,33 7,33 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-02 1 1 7,34 7,34 7,34 7,34 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-03 1 1 7,37 7,37 7,37 7,37 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-04 1 1 7,29 7,29 7,29 7,29 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-05 1 1 7,27 7,27 7,27 7,27 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-08 1 1 7,3 7,3 7,3 7,3 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-09 1 1 7,33 7,33 7,33 7,33 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-10 1 1 7,39 7,39 7,39 7,39 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-11 1 1 7,37 7,37 7,37 7,37 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-12 1 1 7,35 7,35 7,35 7,35 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-15 1 1 7,33 7,33 7,33 7,33 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-16 1 1 7,35 7,35 7,35 7,35 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-17 1 1 7,3 7,3 7,3 7,3 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-18 1 1 7,3 7,3 7,3 7,3 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-19 1 1 7,37 7,37 7,37 7,37 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-22 1 1 7,39 7,39 7,39 7,39 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-23 1 1 7,34 7,34 7,34 7,34 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-24 1 1 7,27 7,27 7,27 7,27 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-25 1 1 7,24 7,24 7,24 7,24 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-26 1 1 7,18 7,18 7,18 7,18 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-29 1 1 7,19 7,19 7,19 7,19 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-30 1 1 7,22 7,22 7,22 7,22 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-08-31 1 1 7,24 7,24 7,24 7,24 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-01 1 1 7,3 7,3 7,3 7,3 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-02 1 1 7,27 7,27 7,27 7,27 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-05 1 1 7,31 7,31 7,31 7,31 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-06 1 1 7,39 7,39 7,39 7,39 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-07 1 1 7,41 7,41 7,41 7,41 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-08 1 1 7,41 7,41 7,41 7,41 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-09 1 1 7,44 7,44 7,44 7,44 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-12 1 1 7,43 7,43 7,43 7,43 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-13 1 1 7,41 7,41 7,41 7,41 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-14 1 1 7,43 7,43 7,43 7,43 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-15 1 1 7,44 7,44 7,44 7,44 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-16 1 1 7,49 7,49 7,49 7,49 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-19 1 1 7,51 7,51 7,51 7,51 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-20 1 1 7,51 7,51 7,51 7,51 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-21 1 1 7,44 7,44 7,44 7,44 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-22 1 1 7,42 7,42 7,42 7,42 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-23 1 1 7,45 7,45 7,45 7,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-26 1 1 7,55 7,55 7,55 7,55 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-27 1 1 7,56 7,56 7,56 7,56 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-28 1 1 7,6 7,6 7,6 7,6 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-29 1 1 7,55 7,55 7,55 7,55 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-09-30 1 1 7,55 7,55 7,55 7,55 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-03 1 1 7,61 7,61 7,61 7,61 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-04 1 1 7,62 7,62 7,62 7,62 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-05 1 1 7,57 7,57 7,57 7,57 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-06 1 1 7,44 7,44 7,44 7,44 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-07 1 1 7,45 7,45 7,45 7,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-10 1 1 7,48 7,48 7,48 7,48 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-11 1 1 7,5 7,5 7,5 7,5 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-12 1 1 7,47 7,47 7,47 7,47 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-13 1 1 7,4 7,4 7,4 7,4 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-14 1 1 7,45 7,45 7,45 7,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-17 1 1 7,49 7,49 7,49 7,49 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-18 1 1 7,45 7,45 7,45 7,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-19 1 1 7,33 7,33 7,33 7,33 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-20 1 1 7,37 7,37 7,37 7,37 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-21 1 1 7,32 7,32 7,32 7,32 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-24 1 1 7,45 7,45 7,45 7,45 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-25 1 1 7,43 7,43 7,43 7,43 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-26 1 1 7,43 7,43 7,43 7,43 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-27 1 1 7,36 7,36 7,36 7,36 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-28 1 1 7,37 7,37 7,37 7,37 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-10-31 1 1 7,55 7,55 7,55 7,55 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-01 1 1 7,6 7,6 7,6 7,6 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-02 1 1 7,63 7,63 7,63 7,63 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-03 1 1 7,74 7,74 7,74 7,74 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-04 1 1 7,73 7,73 7,73 7,73 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-07 1 1 7,77 7,77 7,77 7,77 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-08 1 1 7,73 7,73 7,73 7,73 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-09 1 1 7,76 7,76 7,76 7,76 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-10 1 1 7,8 7,8 7,8 7,8 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-11 1 1 7,8 7,8 7,8 7,8 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-14 1 1 7,82 7,82 7,82 7,82 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-15 1 1 7,83 7,83 7,83 7,83 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-16 1 1 7,77 7,77 7,77 7,77 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-17 1 1 7,85 7,85 7,85 7,85 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-18 1 1 7,86 7,86 7,86 7,86 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-21 1 1 7,84 7,84 7,84 7,84 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-22 1 1 7,87 7,87 7,87 7,87 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-23 1 1 7,84 7,84 7,84 7,84 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-24 1 1 7,83 7,83 7,83 7,83 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-25 1 1 7,83 7,83 7,83 7,83 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-28 1 1 7,79 7,79 7,79 7,79 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-29 1 1 7,83 7,83 7,83 7,83 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-11-30 1 1 7,83 7,83 7,83 7,83 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-01 1 1 7,89 7,89 7,89 7,89 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-02 1 1 7,91 7,91 7,91 7,91 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-05 1 1 7,9 7,9 7,9 7,9 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-06 1 1 7,89 7,89 7,89 7,89 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-07 1 1 7,91 7,91 7,91 7,91 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-08 1 1 7,89 7,89 7,89 7,89 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-12 1 1 7,74 7,74 7,74 7,74 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-13 1 1 7,74 7,74 7,74 7,74 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-14 1 1 7,72 7,72 7,72 7,72 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-15 1 1 7,68 7,68 7,68 7,68 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-16 1 1 7,75 7,75 7,75 7,75 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-19 1 1 7,71 7,71 7,71 7,71 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-20 1 1 7,7 7,7 7,7 7,7 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-21 1 1 7,73 7,73 7,73 7,73 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-22 1 1 7,75 7,75 7,75 7,75 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-23 1 1 7,74 7,74 7,74 7,74 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-27 1 1 7,79 7,79 7,79 7,79 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-28 1 1 7,73 7,73 7,73 7,73 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-29 1 1 7,76 7,76 7,76 7,76 964171 Robur Fonder AB Robur Europafond MEGA SEK 2005-12-30 1 1 7,71 7,71 7,71 7,71 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-03 1 1 36,44 36,44 36,44 36,44 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-04 1 1 36,59 36,59 36,59 36,59 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-05 1 1 36,36 36,36 36,36 36,36 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-07 1 1 36,53 36,53 36,53 36,53 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-10 1 1 36,89 36,89 36,89 36,89 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-11 1 1 36,8 36,8 36,8 36,8 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-12 1 1 36,41 36,41 36,41 36,41 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-13 1 1 36,34 36,34 36,34 36,34 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-14 1 1 36,52 36,52 36,52 36,52 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-17 1 1 36,81 36,81 36,81 36,81 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-18 1 1 36,63 36,63 36,63 36,63 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-19 1 1 36,97 36,97 36,97 36,97 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-20 1 1 36,6 36,6 36,6 36,6 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-21 1 1 36,62 36,62 36,62 36,62 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-24 1 1 36,38 36,38 36,38 36,38 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-25 1 1 36,77 36,77 36,77 36,77 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-26 1 1 36,9 36,9 36,9 36,9 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-27 1 1 37,05 37,05 37,05 37,05 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-28 1 1 36,95 36,95 36,95 36,95 939850 Robur Fonder AB Robur Exportfond SEK 2005-01-31 1 1 37,12 37,12 37,12 37,12 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-01 1 1 37,34 37,34 37,34 37,34 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-02 1 1 37,52 37,52 37,52 37,52 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-03 1 1 37,53 37,53 37,53 37,53 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-04 1 1 37,71 37,71 37,71 37,71 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-07 1 1 38,19 38,19 38,19 38,19 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-08 1 1 38,25 38,25 38,25 38,25 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-09 1 1 38,55 38,55 38,55 38,55 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-10 1 1 38,15 38,15 38,15 38,15 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-11 1 1 38,23 38,23 38,23 38,23 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-14 1 1 38,3 38,3 38,3 38,3 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-15 1 1 38,48 38,48 38,48 38,48 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-16 1 1 38,19 38,19 38,19 38,19 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-17 1 1 38,4 38,4 38,4 38,4 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-18 1 1 38,21 38,21 38,21 38,21 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-21 1 1 38,35 38,35 38,35 38,35 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-22 1 1 38,27 38,27 38,27 38,27 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-23 1 1 38,25 38,25 38,25 38,25 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-24 1 1 38,23 38,23 38,23 38,23 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-25 1 1 38,42 38,42 38,42 38,42 939850 Robur Fonder AB Robur Exportfond SEK 2005-02-28 1 1 38,51 38,51 38,51 38,51 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-01 1 1 38,73 38,73 38,73 38,73 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-02 1 1 38,95 38,95 38,95 38,95 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-03 1 1 39,44 39,44 39,44 39,44 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-04 1 1 39,62 39,62 39,62 39,62 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-07 1 1 39,47 39,47 39,47 39,47 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-08 1 1 39,28 39,28 39,28 39,28 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-09 1 1 39,34 39,34 39,34 39,34 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-10 1 1 39,11 39,11 39,11 39,11 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-11 1 1 39,12 39,12 39,12 39,12 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-14 1 1 39,06 39,06 39,06 39,06 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-15 1 1 39,41 39,41 39,41 39,41 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-16 1 1 38,95 38,95 38,95 38,95 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-17 1 1 38,88 38,88 38,88 38,88 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-18 1 1 38,89 38,89 38,89 38,89 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-21 1 1 38,84 38,84 38,84 38,84 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-22 1 1 38,93 38,93 38,93 38,93 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-23 1 1 38,69 38,69 38,69 38,69 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-24 1 1 39,06 39,06 39,06 39,06 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-29 1 1 38,8 38,8 38,8 38,8 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-30 1 1 38,55 38,55 38,55 38,55 939850 Robur Fonder AB Robur Exportfond SEK 2005-03-31 1 1 38,87 38,87 38,87 38,87 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-01 1 1 38,92 38,92 38,92 38,92 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-04 1 1 38,71 38,71 38,71 38,71 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-05 1 1 39,11 39,11 39,11 39,11 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-06 1 1 39,25 39,25 39,25 39,25 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-07 1 1 39,36 39,36 39,36 39,36 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-08 1 1 39,59 39,59 39,59 39,59 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-11 1 1 39,61 39,61 39,61 39,61 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-12 1 1 39,51 39,51 39,51 39,51 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-13 1 1 39,83 39,83 39,83 39,83 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-14 1 1 39,94 39,94 39,94 39,94 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-15 1 1 39,27 39,27 39,27 39,27 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-18 1 1 38,69 38,69 38,69 38,69 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-19 1 1 39,05 39,05 39,05 39,05 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-20 1 1 39,02 39,02 39,02 39,02 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-21 1 1 39,08 39,08 39,08 39,08 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-22 1 1 39,41 39,41 39,41 39,41 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-25 1 1 39,29 39,29 39,29 39,29 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-26 1 1 38,96 38,96 38,96 38,96 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-27 1 1 38,04 38,04 38,04 38,04 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-28 1 1 37,8 37,8 37,8 37,8 939850 Robur Fonder AB Robur Exportfond SEK 2005-04-29 1 1 37,77 37,77 37,77 37,77 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-02 1 1 38,26 38,26 38,26 38,26 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-03 1 1 38,22 38,22 38,22 38,22 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-04 1 1 38,18 38,18 38,18 38,18 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-06 1 1 38,68 38,68 38,68 38,68 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-09 1 1 38,49 38,49 38,49 38,49 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-10 1 1 38,22 38,22 38,22 38,22 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-11 1 1 38,19 38,19 38,19 38,19 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-12 1 1 38,53 38,53 38,53 38,53 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-13 1 1 38,39 38,39 38,39 38,39 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-16 1 1 38,56 38,56 38,56 38,56 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-17 1 1 38,8 38,8 38,8 38,8 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-18 1 1 39,22 39,22 39,22 39,22 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-19 1 1 39,41 39,41 39,41 39,41 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-20 1 1 39,4 39,4 39,4 39,4 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-23 1 1 39,51 39,51 39,51 39,51 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-24 1 1 39,61 39,61 39,61 39,61 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-25 1 1 39,56 39,56 39,56 39,56 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-26 1 1 39,91 39,91 39,91 39,91 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-27 1 1 40,04 40,04 40,04 40,04 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-30 1 1 40,07 40,07 40,07 40,07 939850 Robur Fonder AB Robur Exportfond SEK 2005-05-31 1 1 40,18 40,18 40,18 40,18 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-01 1 1 40,04 40,04 40,04 40,04 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-02 1 1 39,8 39,8 39,8 39,8 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-03 1 1 39,67 39,67 39,67 39,67 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-07 1 1 39,85 39,85 39,85 39,85 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-08 1 1 40,06 40,06 40,06 40,06 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-09 1 1 40,07 40,07 40,07 40,07 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-10 1 1 40,36 40,36 40,36 40,36 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-13 1 1 40,58 40,58 40,58 40,58 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-14 1 1 40,92 40,92 40,92 40,92 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-15 1 1 40,85 40,85 40,85 40,85 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-16 1 1 41,07 41,07 41,07 41,07 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-17 1 1 41,26 41,26 41,26 41,26 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-20 1 1 41,19 41,19 41,19 41,19 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-21 1 1 41,58 41,58 41,58 41,58 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-22 1 1 41,73 41,73 41,73 41,73 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-23 1 1 41,84 41,84 41,84 41,84 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-27 1 1 41,14 41,14 41,14 41,14 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-28 1 1 41,45 41,45 41,45 41,45 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-29 1 1 41,65 41,65 41,65 41,65 939850 Robur Fonder AB Robur Exportfond SEK 2005-06-30 1 1 41,76 41,76 41,76 41,76 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-01 1 1 41,88 41,88 41,88 41,88 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-04 1 1 42,08 42,08 42,08 42,08 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-05 1 1 42,27 42,27 42,27 42,27 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-06 1 1 42,37 42,37 42,37 42,37 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-07 1 1 41,71 41,71 41,71 41,71 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-08 1 1 42,23 42,23 42,23 42,23 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-11 1 1 42,86 42,86 42,86 42,86 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-12 1 1 42,91 42,91 42,91 42,91 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-13 1 1 43,16 43,16 43,16 43,16 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-14 1 1 43,18 43,18 43,18 43,18 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-15 1 1 43,15 43,15 43,15 43,15 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-18 1 1 43,19 43,19 43,19 43,19 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-19 1 1 43,2 43,2 43,2 43,2 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-20 1 1 42,93 42,93 42,93 42,93 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-21 1 1 43,42 43,42 43,42 43,42 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-22 1 1 43,51 43,51 43,51 43,51 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-25 1 1 43,28 43,28 43,28 43,28 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-26 1 1 43,29 43,29 43,29 43,29 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-27 1 1 43,44 43,44 43,44 43,44 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-28 1 1 43,76 43,76 43,76 43,76 939850 Robur Fonder AB Robur Exportfond SEK 2005-07-29 1 1 43,82 43,82 43,82 43,82 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-01 1 1 43,89 43,89 43,89 43,89 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-02 1 1 44,14 44,14 44,14 44,14 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-03 1 1 44,2 44,2 44,2 44,2 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-04 1 1 43,88 43,88 43,88 43,88 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-05 1 1 43,69 43,69 43,69 43,69 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-08 1 1 43,74 43,74 43,74 43,74 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-09 1 1 43,84 43,84 43,84 43,84 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-10 1 1 44,35 44,35 44,35 44,35 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-11 1 1 44,25 44,25 44,25 44,25 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-12 1 1 44,22 44,22 44,22 44,22 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-15 1 1 44,22 44,22 44,22 44,22 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-16 1 1 44,42 44,42 44,42 44,42 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-17 1 1 44,21 44,21 44,21 44,21 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-18 1 1 44,17 44,17 44,17 44,17 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-19 1 1 44,47 44,47 44,47 44,47 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-22 1 1 44,5 44,5 44,5 44,5 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-23 1 1 44,31 44,31 44,31 44,31 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-24 1 1 43,67 43,67 43,67 43,67 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-25 1 1 43,26 43,26 43,26 43,26 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-26 1 1 43 43 43 43 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-29 1 1 43,16 43,16 43,16 43,16 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-30 1 1 43,25 43,25 43,25 43,25 939850 Robur Fonder AB Robur Exportfond SEK 2005-08-31 1 1 43,35 43,35 43,35 43,35 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-01 1 1 43,54 43,54 43,54 43,54 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-02 1 1 43,5 43,5 43,5 43,5 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-05 1 1 43,88 43,88 43,88 43,88 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-06 1 1 44,2 44,2 44,2 44,2 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-07 1 1 44,44 44,44 44,44 44,44 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-08 1 1 44,51 44,51 44,51 44,51 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-09 1 1 44,83 44,83 44,83 44,83 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-12 1 1 44,96 44,96 44,96 44,96 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-13 1 1 44,93 44,93 44,93 44,93 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-14 1 1 44,94 44,94 44,94 44,94 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-15 1 1 44,84 44,84 44,84 44,84 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-16 1 1 44,9 44,9 44,9 44,9 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-19 1 1 45,12 45,12 45,12 45,12 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-20 1 1 44,94 44,94 44,94 44,94 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-21 1 1 44,61 44,61 44,61 44,61 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-22 1 1 44,59 44,59 44,59 44,59 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-23 1 1 44,76 44,76 44,76 44,76 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-26 1 1 45,33 45,33 45,33 45,33 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-27 1 1 45,45 45,45 45,45 45,45 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-28 1 1 45,65 45,65 45,65 45,65 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-29 1 1 45,59 45,59 45,59 45,59 939850 Robur Fonder AB Robur Exportfond SEK 2005-09-30 1 1 45,88 45,88 45,88 45,88 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-03 1 1 46,21 46,21 46,21 46,21 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-04 1 1 46,44 46,44 46,44 46,44 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-05 1 1 46,06 46,06 46,06 46,06 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-06 1 1 45,49 45,49 45,49 45,49 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-07 1 1 45,49 45,49 45,49 45,49 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-10 1 1 45,63 45,63 45,63 45,63 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-11 1 1 45,72 45,72 45,72 45,72 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-12 1 1 45,46 45,46 45,46 45,46 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-13 1 1 44,89 44,89 44,89 44,89 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-14 1 1 44,86 44,86 44,86 44,86 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-17 1 1 44,87 44,87 44,87 44,87 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-18 1 1 44,64 44,64 44,64 44,64 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-19 1 1 43,94 43,94 43,94 43,94 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-20 1 1 44,07 44,07 44,07 44,07 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-21 1 1 43,57 43,57 43,57 43,57 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-24 1 1 44 44 44 44 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-25 1 1 44,32 44,32 44,32 44,32 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-26 1 1 44,49 44,49 44,49 44,49 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-27 1 1 43,89 43,89 43,89 43,89 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-28 1 1 43,84 43,84 43,84 43,84 939850 Robur Fonder AB Robur Exportfond SEK 2005-10-31 1 1 44,77 44,77 44,77 44,77 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-01 1 1 45,03 45,03 45,03 45,03 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-02 1 1 45,06 45,06 45,06 45,06 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-03 1 1 45,6 45,6 45,6 45,6 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-04 1 1 45,7 45,7 45,7 45,7 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-07 1 1 45,95 45,95 45,95 45,95 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-08 1 1 45,84 45,84 45,84 45,84 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-09 1 1 46,03 46,03 46,03 46,03 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-10 1 1 46,2 46,2 46,2 46,2 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-11 1 1 46,56 46,56 46,56 46,56 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-14 1 1 46,58 46,58 46,58 46,58 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-15 1 1 46,55 46,55 46,55 46,55 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-16 1 1 46,57 46,57 46,57 46,57 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-17 1 1 46,72 46,72 46,72 46,72 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-18 1 1 46,94 46,94 46,94 46,94 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-21 1 1 47,02 47,02 47,02 47,02 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-22 1 1 47,09 47,09 47,09 47,09 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-23 1 1 47,14 47,14 47,14 47,14 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-24 1 1 47,08 47,08 47,08 47,08 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-25 1 1 47,24 47,24 47,24 47,24 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-28 1 1 47,2 47,2 47,2 47,2 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-29 1 1 47,23 47,23 47,23 47,23 939850 Robur Fonder AB Robur Exportfond SEK 2005-11-30 1 1 47,1 47,1 47,1 47,1 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-01 1 1 47,37 47,37 47,37 47,37 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-02 1 1 47,9 47,9 47,9 47,9 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-05 1 1 47,75 47,75 47,75 47,75 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-06 1 1 48,12 48,12 48,12 48,12 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-07 1 1 48,25 48,25 48,25 48,25 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-08 1 1 48,16 48,16 48,16 48,16 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-12 1 1 47,3 47,3 47,3 47,3 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-13 1 1 47,32 47,32 47,32 47,32 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-14 1 1 47,29 47,29 47,29 47,29 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-15 1 1 47,2 47,2 47,2 47,2 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-16 1 1 47,6 47,6 47,6 47,6 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-19 1 1 47,92 47,92 47,92 47,92 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-20 1 1 47,83 47,83 47,83 47,83 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-21 1 1 48,07 48,07 48,07 48,07 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-22 1 1 48,25 48,25 48,25 48,25 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-23 1 1 48,62 48,62 48,62 48,62 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-27 1 1 48,97 48,97 48,97 48,97 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-28 1 1 48,93 48,93 48,93 48,93 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-29 1 1 49,24 49,24 49,24 49,24 939850 Robur Fonder AB Robur Exportfond SEK 2005-12-30 1 1 49,29 49,29 49,29 49,29 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-03 1 1 10,8 10,8 10,8 10,8 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-04 1 1 10,95 10,95 10,95 10,95 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-05 1 1 10,88 10,88 10,88 10,88 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-07 1 1 10,98 10,98 10,98 10,98 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-10 1 1 11 11 11 11 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-11 1 1 10,88 10,88 10,88 10,88 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-12 1 1 10,84 10,84 10,84 10,84 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-13 1 1 10,83 10,83 10,83 10,83 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-14 1 1 10,84 10,84 10,84 10,84 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-17 1 1 10,92 10,92 10,92 10,92 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-18 1 1 10,9 10,9 10,9 10,9 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-19 1 1 10,99 10,99 10,99 10,99 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-20 1 1 10,93 10,93 10,93 10,93 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-21 1 1 10,91 10,91 10,91 10,91 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-24 1 1 10,87 10,87 10,87 10,87 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-25 1 1 10,98 10,98 10,98 10,98 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-26 1 1 10,97 10,97 10,97 10,97 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-27 1 1 10,96 10,96 10,96 10,96 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-28 1 1 10,97 10,97 10,97 10,97 247577 Robur Fonder AB Robur Finansfond SEK 2005-01-31 1 1 11,03 11,03 11,03 11,03 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-01 1 1 11,02 11,02 11,02 11,02 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-02 1 1 11,05 11,05 11,05 11,05 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-03 1 1 11,06 11,06 11,06 11,06 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-04 1 1 11,12 11,12 11,12 11,12 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-07 1 1 11,27 11,27 11,27 11,27 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-08 1 1 11,31 11,31 11,31 11,31 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-09 1 1 11,27 11,27 11,27 11,27 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-10 1 1 11,29 11,29 11,29 11,29 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-11 1 1 11,33 11,33 11,33 11,33 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-14 1 1 11,35 11,35 11,35 11,35 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-15 1 1 11,34 11,34 11,34 11,34 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-16 1 1 11,27 11,27 11,27 11,27 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-17 1 1 11,28 11,28 11,28 11,28 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-18 1 1 11,22 11,22 11,22 11,22 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-21 1 1 11,19 11,19 11,19 11,19 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-22 1 1 11,03 11,03 11,03 11,03 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-23 1 1 10,97 10,97 10,97 10,97 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-24 1 1 10,95 10,95 10,95 10,95 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-25 1 1 11,03 11,03 11,03 11,03 247577 Robur Fonder AB Robur Finansfond SEK 2005-02-28 1 1 11,02 11,02 11,02 11,02 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-01 1 1 11,1 11,1 11,1 11,1 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-02 1 1 11,12 11,12 11,12 11,12 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-03 1 1 11,13 11,13 11,13 11,13 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-04 1 1 11,14 11,14 11,14 11,14 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-07 1 1 11,17 11,17 11,17 11,17 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-08 1 1 11,07 11,07 11,07 11,07 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-09 1 1 11,03 11,03 11,03 11,03 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-10 1 1 10,99 10,99 10,99 10,99 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-11 1 1 10,98 10,98 10,98 10,98 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-14 1 1 10,99 10,99 10,99 10,99 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-15 1 1 11,07 11,07 11,07 11,07 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-16 1 1 10,9 10,9 10,9 10,9 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-17 1 1 10,86 10,86 10,86 10,86 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-18 1 1 10,95 10,95 10,95 10,95 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-21 1 1 10,94 10,94 10,94 10,94 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-22 1 1 10,9 10,9 10,9 10,9 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-23 1 1 10,84 10,84 10,84 10,84 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-24 1 1 10,89 10,89 10,89 10,89 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-29 1 1 10,92 10,92 10,92 10,92 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-30 1 1 10,85 10,85 10,85 10,85 247577 Robur Fonder AB Robur Finansfond SEK 2005-03-31 1 1 10,97 10,97 10,97 10,97 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-01 1 1 11,04 11,04 11,04 11,04 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-04 1 1 10,89 10,89 10,89 10,89 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-05 1 1 11,04 11,04 11,04 11,04 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-06 1 1 11,04 11,04 11,04 11,04 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-07 1 1 11,05 11,05 11,05 11,05 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-08 1 1 11,13 11,13 11,13 11,13 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-11 1 1 11,03 11,03 11,03 11,03 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-12 1 1 11,02 11,02 11,02 11,02 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-13 1 1 11,11 11,11 11,11 11,11 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-14 1 1 11,06 11,06 11,06 11,06 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-15 1 1 10,91 10,91 10,91 10,91 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-18 1 1 10,73 10,73 10,73 10,73 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-19 1 1 10,78 10,78 10,78 10,78 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-20 1 1 10,72 10,72 10,72 10,72 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-21 1 1 10,62 10,62 10,62 10,62 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-22 1 1 10,71 10,71 10,71 10,71 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-25 1 1 10,77 10,77 10,77 10,77 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-26 1 1 10,74 10,74 10,74 10,74 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-27 1 1 10,64 10,64 10,64 10,64 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-28 1 1 10,77 10,77 10,77 10,77 247577 Robur Fonder AB Robur Finansfond SEK 2005-04-29 1 1 10,76 10,76 10,76 10,76 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-02 1 1 10,97 10,97 10,97 10,97 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-03 1 1 10,93 10,93 10,93 10,93 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-04 1 1 10,96 10,96 10,96 10,96 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-06 1 1 11,08 11,08 11,08 11,08 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-09 1 1 11,06 11,06 11,06 11,06 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-10 1 1 11,01 11,01 11,01 11,01 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-11 1 1 11,03 11,03 11,03 11,03 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-12 1 1 11,15 11,15 11,15 11,15 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-13 1 1 11,05 11,05 11,05 11,05 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-16 1 1 11,09 11,09 11,09 11,09 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-17 1 1 11,06 11,06 11,06 11,06 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-18 1 1 11,2 11,2 11,2 11,2 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-19 1 1 11,26 11,26 11,26 11,26 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-20 1 1 11,24 11,24 11,24 11,24 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-23 1 1 11,28 11,28 11,28 11,28 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-24 1 1 11,26 11,26 11,26 11,26 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-25 1 1 11,22 11,22 11,22 11,22 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-26 1 1 11,33 11,33 11,33 11,33 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-27 1 1 11,34 11,34 11,34 11,34 247577 Robur Fonder AB Robur Finansfond SEK 2005-05-31 1 1 11,44 11,44 11,44 11,44 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-01 1 1 11,57 11,57 11,57 11,57 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-02 1 1 11,55 11,55 11,55 11,55 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-03 1 1 11,52 11,52 11,52 11,52 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-07 1 1 11,63 11,63 11,63 11,63 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-08 1 1 11,64 11,64 11,64 11,64 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-09 1 1 11,69 11,69 11,69 11,69 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-10 1 1 11,82 11,82 11,82 11,82 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-13 1 1 11,93 11,93 11,93 11,93 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-14 1 1 11,93 11,93 11,93 11,93 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-15 1 1 11,96 11,96 11,96 11,96 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-16 1 1 12,01 12,01 12,01 12,01 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-17 1 1 11,92 11,92 11,92 11,92 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-20 1 1 11,91 11,91 11,91 11,91 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-21 1 1 12,01 12,01 12,01 12,01 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-22 1 1 12,13 12,13 12,13 12,13 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-23 1 1 12,27 12,27 12,27 12,27 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-27 1 1 12,05 12,05 12,05 12,05 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-28 1 1 12,2 12,2 12,2 12,2 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-29 1 1 12,34 12,34 12,34 12,34 247577 Robur Fonder AB Robur Finansfond SEK 2005-06-30 1 1 12,34 12,34 12,34 12,34 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-01 1 1 12,4 12,4 12,4 12,4 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-04 1 1 12,42 12,42 12,42 12,42 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-05 1 1 12,34 12,34 12,34 12,34 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-06 1 1 12,34 12,34 12,34 12,34 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-07 1 1 12,2 12,2 12,2 12,2 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-08 1 1 12,34 12,34 12,34 12,34 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-11 1 1 12,47 12,47 12,47 12,47 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-12 1 1 12,31 12,31 12,31 12,31 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-13 1 1 12,33 12,33 12,33 12,33 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-14 1 1 12,47 12,47 12,47 12,47 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-15 1 1 12,48 12,48 12,48 12,48 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-18 1 1 12,49 12,49 12,49 12,49 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-19 1 1 12,58 12,58 12,58 12,58 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-20 1 1 12,53 12,53 12,53 12,53 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-21 1 1 12,55 12,55 12,55 12,55 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-22 1 1 12,54 12,54 12,54 12,54 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-25 1 1 12,54 12,54 12,54 12,54 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-26 1 1 12,6 12,6 12,6 12,6 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-27 1 1 12,61 12,61 12,61 12,61 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-28 1 1 12,57 12,57 12,57 12,57 247577 Robur Fonder AB Robur Finansfond SEK 2005-07-29 1 1 12,53 12,53 12,53 12,53 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-01 1 1 12,46 12,46 12,46 12,46 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-02 1 1 12,47 12,47 12,47 12,47 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-03 1 1 12,41 12,41 12,41 12,41 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-04 1 1 12,28 12,28 12,28 12,28 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-05 1 1 12,21 12,21 12,21 12,21 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-08 1 1 12,2 12,2 12,2 12,2 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-09 1 1 12,24 12,24 12,24 12,24 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-10 1 1 12,36 12,36 12,36 12,36 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-11 1 1 12,31 12,31 12,31 12,31 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-12 1 1 12,32 12,32 12,32 12,32 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-15 1 1 12,32 12,32 12,32 12,32 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-16 1 1 12,43 12,43 12,43 12,43 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-17 1 1 12,35 12,35 12,35 12,35 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-18 1 1 12,41 12,41 12,41 12,41 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-19 1 1 12,52 12,52 12,52 12,52 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-22 1 1 12,59 12,59 12,59 12,59 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-23 1 1 12,48 12,48 12,48 12,48 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-24 1 1 12,38 12,38 12,38 12,38 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-25 1 1 12,3 12,3 12,3 12,3 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-26 1 1 12,2 12,2 12,2 12,2 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-29 1 1 12,18 12,18 12,18 12,18 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-30 1 1 12,26 12,26 12,26 12,26 247577 Robur Fonder AB Robur Finansfond SEK 2005-08-31 1 1 12,22 12,22 12,22 12,22 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-01 1 1 12,17 12,17 12,17 12,17 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-02 1 1 12,08 12,08 12,08 12,08 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-06 1 1 12,29 12,29 12,29 12,29 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-07 1 1 12,35 12,35 12,35 12,35 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-08 1 1 12,37 12,37 12,37 12,37 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-09 1 1 12,43 12,43 12,43 12,43 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-12 1 1 12,51 12,51 12,51 12,51 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-13 1 1 12,52 12,52 12,52 12,52 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-14 1 1 12,5 12,5 12,5 12,5 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-15 1 1 12,55 12,55 12,55 12,55 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-16 1 1 12,64 12,64 12,64 12,64 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-19 1 1 12,68 12,68 12,68 12,68 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-20 1 1 12,78 12,78 12,78 12,78 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-21 1 1 12,57 12,57 12,57 12,57 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-22 1 1 12,47 12,47 12,47 12,47 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-23 1 1 12,64 12,64 12,64 12,64 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-26 1 1 12,87 12,87 12,87 12,87 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-27 1 1 12,81 12,81 12,81 12,81 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-28 1 1 12,95 12,95 12,95 12,95 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-29 1 1 12,89 12,89 12,89 12,89 247577 Robur Fonder AB Robur Finansfond SEK 2005-09-30 1 1 12,93 12,93 12,93 12,93 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-03 1 1 13 13 13 13 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-04 1 1 13,04 13,04 13,04 13,04 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-05 1 1 12,85 12,85 12,85 12,85 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-06 1 1 12,62 12,62 12,62 12,62 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-07 1 1 12,67 12,67 12,67 12,67 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-10 1 1 12,72 12,72 12,72 12,72 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-11 1 1 12,8 12,8 12,8 12,8 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-12 1 1 12,76 12,76 12,76 12,76 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-13 1 1 12,79 12,79 12,79 12,79 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-14 1 1 12,84 12,84 12,84 12,84 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-17 1 1 12,92 12,92 12,92 12,92 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-18 1 1 12,9 12,9 12,9 12,9 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-19 1 1 12,78 12,78 12,78 12,78 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-20 1 1 12,97 12,97 12,97 12,97 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-21 1 1 12,89 12,89 12,89 12,89 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-24 1 1 13,09 13,09 13,09 13,09 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-25 1 1 13,07 13,07 13,07 13,07 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-26 1 1 13,1 13,1 13,1 13,1 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-27 1 1 13,07 13,07 13,07 13,07 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-28 1 1 13,07 13,07 13,07 13,07 247577 Robur Fonder AB Robur Finansfond SEK 2005-10-31 1 1 13,39 13,39 13,39 13,39 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-01 1 1 13,53 13,53 13,53 13,53 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-02 1 1 13,6 13,6 13,6 13,6 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-03 1 1 13,74 13,74 13,74 13,74 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-04 1 1 13,8 13,8 13,8 13,8 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-07 1 1 13,97 13,97 13,97 13,97 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-08 1 1 13,89 13,89 13,89 13,89 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-09 1 1 13,97 13,97 13,97 13,97 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-10 1 1 14,09 14,09 14,09 14,09 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-11 1 1 14,21 14,21 14,21 14,21 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-14 1 1 14,21 14,21 14,21 14,21 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-15 1 1 14,26 14,26 14,26 14,26 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-16 1 1 14,21 14,21 14,21 14,21 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-17 1 1 14,29 14,29 14,29 14,29 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-18 1 1 14,36 14,36 14,36 14,36 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-21 1 1 14,26 14,26 14,26 14,26 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-22 1 1 14,33 14,33 14,33 14,33 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-23 1 1 14,31 14,31 14,31 14,31 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-25 1 1 14,33 14,33 14,33 14,33 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-28 1 1 14,34 14,34 14,34 14,34 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-29 1 1 14,35 14,35 14,35 14,35 247577 Robur Fonder AB Robur Finansfond SEK 2005-11-30 1 1 14,32 14,32 14,32 14,32 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-01 1 1 14,38 14,38 14,38 14,38 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-02 1 1 14,39 14,39 14,39 14,39 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-05 1 1 14,28 14,28 14,28 14,28 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-06 1 1 14,31 14,31 14,31 14,31 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-07 1 1 14,32 14,32 14,32 14,32 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-08 1 1 14,19 14,19 14,19 14,19 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-12 1 1 13,97 13,97 13,97 13,97 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-13 1 1 13,93 13,93 13,93 13,93 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-14 1 1 13,97 13,97 13,97 13,97 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-15 1 1 13,92 13,92 13,92 13,92 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-16 1 1 14,07 14,07 14,07 14,07 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-19 1 1 14,01 14,01 14,01 14,01 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-20 1 1 14,01 14,01 14,01 14,01 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-21 1 1 14,25 14,25 14,25 14,25 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-22 1 1 14,25 14,25 14,25 14,25 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-23 1 1 14,29 14,29 14,29 14,29 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-27 1 1 14,38 14,38 14,38 14,38 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-28 1 1 14,16 14,16 14,16 14,16 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-29 1 1 14,22 14,22 14,22 14,22 247577 Robur Fonder AB Robur Finansfond SEK 2005-12-30 1 1 14,1 14,1 14,1 14,1 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-03 1 1 8,05 8,05 8,05 8,05 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-04 1 1 8,13 8,13 8,13 8,13 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-05 1 1 8,07 8,07 8,07 8,07 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-07 1 1 8,14 8,14 8,14 8,14 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-10 1 1 8,18 8,18 8,18 8,18 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-11 1 1 8,1 8,1 8,1 8,1 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-12 1 1 8,06 8,06 8,06 8,06 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-13 1 1 8,1 8,1 8,1 8,1 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-14 1 1 8,13 8,13 8,13 8,13 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-18 1 1 8,16 8,16 8,16 8,16 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-19 1 1 8,21 8,21 8,21 8,21 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-20 1 1 8,16 8,16 8,16 8,16 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-21 1 1 8,14 8,14 8,14 8,14 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-24 1 1 8,11 8,11 8,11 8,11 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-25 1 1 8,17 8,17 8,17 8,17 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-26 1 1 8,17 8,17 8,17 8,17 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-27 1 1 8,18 8,18 8,18 8,18 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-28 1 1 8,21 8,21 8,21 8,21 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-01-31 1 1 8,24 8,24 8,24 8,24 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-01 1 1 8,25 8,25 8,25 8,25 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-02 1 1 8,28 8,28 8,28 8,28 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-03 1 1 8,3 8,3 8,3 8,3 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-04 1 1 8,35 8,35 8,35 8,35 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-07 1 1 8,46 8,46 8,46 8,46 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-08 1 1 8,5 8,5 8,5 8,5 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-09 1 1 8,45 8,45 8,45 8,45 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-10 1 1 8,42 8,42 8,42 8,42 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-11 1 1 8,43 8,43 8,43 8,43 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-14 1 1 8,44 8,44 8,44 8,44 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-15 1 1 8,45 8,45 8,45 8,45 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-16 1 1 8,43 8,43 8,43 8,43 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-17 1 1 8,43 8,43 8,43 8,43 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-18 1 1 8,39 8,39 8,39 8,39 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-22 1 1 8,3 8,3 8,3 8,3 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-23 1 1 8,24 8,24 8,24 8,24 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-24 1 1 8,24 8,24 8,24 8,24 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-25 1 1 8,32 8,32 8,32 8,32 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-02-28 1 1 8,3 8,3 8,3 8,3 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-01 1 1 8,34 8,34 8,34 8,34 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-02 1 1 8,37 8,37 8,37 8,37 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-03 1 1 8,39 8,39 8,39 8,39 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-04 1 1 8,38 8,38 8,38 8,38 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-07 1 1 8,4 8,4 8,4 8,4 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-08 1 1 8,33 8,33 8,33 8,33 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-09 1 1 8,29 8,29 8,29 8,29 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-10 1 1 8,24 8,24 8,24 8,24 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-11 1 1 8,23 8,23 8,23 8,23 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-14 1 1 8,23 8,23 8,23 8,23 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-15 1 1 8,3 8,3 8,3 8,3 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-16 1 1 8,19 8,19 8,19 8,19 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-17 1 1 8,18 8,18 8,18 8,18 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-18 1 1 8,25 8,25 8,25 8,25 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-21 1 1 8,28 8,28 8,28 8,28 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-22 1 1 8,26 8,26 8,26 8,26 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-23 1 1 8,26 8,26 8,26 8,26 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-24 1 1 8,29 8,29 8,29 8,29 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-29 1 1 8,32 8,32 8,32 8,32 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-30 1 1 8,27 8,27 8,27 8,27 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-03-31 1 1 8,35 8,35 8,35 8,35 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-01 1 1 8,4 8,4 8,4 8,4 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-04 1 1 8,37 8,37 8,37 8,37 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-05 1 1 8,44 8,44 8,44 8,44 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-06 1 1 8,48 8,48 8,48 8,48 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-07 1 1 8,47 8,47 8,47 8,47 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-08 1 1 8,54 8,54 8,54 8,54 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-11 1 1 8,44 8,44 8,44 8,44 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-12 1 1 8,42 8,42 8,42 8,42 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-13 1 1 8,47 8,47 8,47 8,47 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-14 1 1 8,45 8,45 8,45 8,45 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-15 1 1 8,31 8,31 8,31 8,31 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-18 1 1 8,15 8,15 8,15 8,15 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-19 1 1 8,2 8,2 8,2 8,2 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-20 1 1 8,19 8,19 8,19 8,19 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-21 1 1 8,13 8,13 8,13 8,13 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-22 1 1 8,21 8,21 8,21 8,21 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-25 1 1 8,27 8,27 8,27 8,27 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-26 1 1 8,24 8,24 8,24 8,24 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-27 1 1 8,15 8,15 8,15 8,15 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-28 1 1 8,22 8,22 8,22 8,22 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-04-29 1 1 8,21 8,21 8,21 8,21 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-02 1 1 8,34 8,34 8,34 8,34 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-03 1 1 8,33 8,33 8,33 8,33 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-04 1 1 8,31 8,31 8,31 8,31 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-06 1 1 8,44 8,44 8,44 8,44 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-09 1 1 8,42 8,42 8,42 8,42 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-10 1 1 8,42 8,42 8,42 8,42 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-11 1 1 8,42 8,42 8,42 8,42 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-12 1 1 8,5 8,5 8,5 8,5 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-13 1 1 8,44 8,44 8,44 8,44 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-16 1 1 8,45 8,45 8,45 8,45 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-17 1 1 8,45 8,45 8,45 8,45 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-18 1 1 8,55 8,55 8,55 8,55 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-19 1 1 8,61 8,61 8,61 8,61 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-20 1 1 8,62 8,62 8,62 8,62 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-23 1 1 8,65 8,65 8,65 8,65 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-24 1 1 8,65 8,65 8,65 8,65 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-25 1 1 8,62 8,62 8,62 8,62 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-26 1 1 8,73 8,73 8,73 8,73 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-27 1 1 8,72 8,72 8,72 8,72 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-05-31 1 1 8,79 8,79 8,79 8,79 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-01 1 1 8,9 8,9 8,9 8,9 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-02 1 1 8,9 8,9 8,9 8,9 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-03 1 1 8,89 8,89 8,89 8,89 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-07 1 1 8,96 8,96 8,96 8,96 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-08 1 1 8,95 8,95 8,95 8,95 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-09 1 1 8,97 8,97 8,97 8,97 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-10 1 1 9,07 9,07 9,07 9,07 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-13 1 1 9,17 9,17 9,17 9,17 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-14 1 1 9,19 9,19 9,19 9,19 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-15 1 1 9,19 9,19 9,19 9,19 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-16 1 1 9,23 9,23 9,23 9,23 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-17 1 1 9,18 9,18 9,18 9,18 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-20 1 1 9,19 9,19 9,19 9,19 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-21 1 1 9,24 9,24 9,24 9,24 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-22 1 1 9,31 9,31 9,31 9,31 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-23 1 1 9,41 9,41 9,41 9,41 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-27 1 1 9,22 9,22 9,22 9,22 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-28 1 1 9,35 9,35 9,35 9,35 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-29 1 1 9,44 9,44 9,44 9,44 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-06-30 1 1 9,42 9,42 9,42 9,42 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-01 1 1 9,47 9,47 9,47 9,47 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-05 1 1 9,47 9,47 9,47 9,47 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-06 1 1 9,46 9,46 9,46 9,46 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-07 1 1 9,37 9,37 9,37 9,37 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-08 1 1 9,48 9,48 9,48 9,48 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-11 1 1 9,56 9,56 9,56 9,56 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-12 1 1 9,45 9,45 9,45 9,45 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-13 1 1 9,46 9,46 9,46 9,46 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-14 1 1 9,54 9,54 9,54 9,54 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-15 1 1 9,53 9,53 9,53 9,53 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-18 1 1 9,53 9,53 9,53 9,53 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-19 1 1 9,61 9,61 9,61 9,61 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-20 1 1 9,59 9,59 9,59 9,59 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-21 1 1 9,58 9,58 9,58 9,58 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-22 1 1 9,57 9,57 9,57 9,57 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-25 1 1 9,6 9,6 9,6 9,6 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-26 1 1 9,66 9,66 9,66 9,66 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-27 1 1 9,64 9,64 9,64 9,64 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-28 1 1 9,64 9,64 9,64 9,64 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-07-29 1 1 9,64 9,64 9,64 9,64 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-01 1 1 9,58 9,58 9,58 9,58 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-02 1 1 9,6 9,6 9,6 9,6 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-03 1 1 9,56 9,56 9,56 9,56 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-04 1 1 9,47 9,47 9,47 9,47 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-05 1 1 9,41 9,41 9,41 9,41 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-08 1 1 9,41 9,41 9,41 9,41 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-09 1 1 9,45 9,45 9,45 9,45 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-10 1 1 9,51 9,51 9,51 9,51 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-11 1 1 9,47 9,47 9,47 9,47 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-12 1 1 9,46 9,46 9,46 9,46 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-15 1 1 9,46 9,46 9,46 9,46 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-16 1 1 9,51 9,51 9,51 9,51 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-17 1 1 9,46 9,46 9,46 9,46 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-18 1 1 9,49 9,49 9,49 9,49 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-19 1 1 9,58 9,58 9,58 9,58 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-22 1 1 9,61 9,61 9,61 9,61 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-23 1 1 9,55 9,55 9,55 9,55 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-24 1 1 9,47 9,47 9,47 9,47 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-25 1 1 9,43 9,43 9,43 9,43 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-26 1 1 9,36 9,36 9,36 9,36 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-29 1 1 9,36 9,36 9,36 9,36 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-30 1 1 9,43 9,43 9,43 9,43 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-08-31 1 1 9,43 9,43 9,43 9,43 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-01 1 1 9,44 9,44 9,44 9,44 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-02 1 1 9,34 9,34 9,34 9,34 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-06 1 1 9,46 9,46 9,46 9,46 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-07 1 1 9,52 9,52 9,52 9,52 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-08 1 1 9,54 9,54 9,54 9,54 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-09 1 1 9,59 9,59 9,59 9,59 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-12 1 1 9,66 9,66 9,66 9,66 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-13 1 1 9,65 9,65 9,65 9,65 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-14 1 1 9,65 9,65 9,65 9,65 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-15 1 1 9,7 9,7 9,7 9,7 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-16 1 1 9,74 9,74 9,74 9,74 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-19 1 1 9,78 9,78 9,78 9,78 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-20 1 1 9,81 9,81 9,81 9,81 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-21 1 1 9,67 9,67 9,67 9,67 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-22 1 1 9,66 9,66 9,66 9,66 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-23 1 1 9,75 9,75 9,75 9,75 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-26 1 1 9,88 9,88 9,88 9,88 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-27 1 1 9,86 9,86 9,86 9,86 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-28 1 1 9,92 9,92 9,92 9,92 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-29 1 1 9,88 9,88 9,88 9,88 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-09-30 1 1 9,89 9,89 9,89 9,89 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-03 1 1 9,96 9,96 9,96 9,96 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-04 1 1 9,98 9,98 9,98 9,98 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-05 1 1 9,83 9,83 9,83 9,83 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-06 1 1 9,6 9,6 9,6 9,6 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-07 1 1 9,62 9,62 9,62 9,62 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-10 1 1 9,65 9,65 9,65 9,65 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-11 1 1 9,71 9,71 9,71 9,71 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-12 1 1 9,66 9,66 9,66 9,66 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-13 1 1 9,65 9,65 9,65 9,65 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-14 1 1 9,67 9,67 9,67 9,67 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-17 1 1 9,74 9,74 9,74 9,74 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-18 1 1 9,75 9,75 9,75 9,75 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-19 1 1 9,62 9,62 9,62 9,62 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-20 1 1 9,73 9,73 9,73 9,73 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-21 1 1 9,64 9,64 9,64 9,64 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-24 1 1 9,79 9,79 9,79 9,79 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-25 1 1 9,76 9,76 9,76 9,76 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-26 1 1 9,76 9,76 9,76 9,76 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-27 1 1 9,66 9,66 9,66 9,66 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-28 1 1 9,66 9,66 9,66 9,66 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-10-31 1 1 9,92 9,92 9,92 9,92 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-01 1 1 9,99 9,99 9,99 9,99 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-02 1 1 10,01 10,01 10,01 10,01 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-03 1 1 10,15 10,15 10,15 10,15 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-04 1 1 10,18 10,18 10,18 10,18 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-07 1 1 10,28 10,28 10,28 10,28 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-08 1 1 10,23 10,23 10,23 10,23 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-09 1 1 10,29 10,29 10,29 10,29 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-10 1 1 10,31 10,31 10,31 10,31 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-11 1 1 10,36 10,36 10,36 10,36 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-14 1 1 10,36 10,36 10,36 10,36 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-15 1 1 10,41 10,41 10,41 10,41 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-16 1 1 10,39 10,39 10,39 10,39 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-17 1 1 10,48 10,48 10,48 10,48 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-18 1 1 10,48 10,48 10,48 10,48 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-21 1 1 10,43 10,43 10,43 10,43 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-22 1 1 10,52 10,52 10,52 10,52 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-23 1 1 10,46 10,46 10,46 10,46 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-25 1 1 10,47 10,47 10,47 10,47 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-28 1 1 10,47 10,47 10,47 10,47 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-29 1 1 10,48 10,48 10,48 10,48 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-11-30 1 1 10,48 10,48 10,48 10,48 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-01 1 1 10,53 10,53 10,53 10,53 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-02 1 1 10,57 10,57 10,57 10,57 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-05 1 1 10,49 10,49 10,49 10,49 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-06 1 1 10,48 10,48 10,48 10,48 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-07 1 1 10,51 10,51 10,51 10,51 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-08 1 1 10,44 10,44 10,44 10,44 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-12 1 1 10,24 10,24 10,24 10,24 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-13 1 1 10,25 10,25 10,25 10,25 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-14 1 1 10,24 10,24 10,24 10,24 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-15 1 1 10,21 10,21 10,21 10,21 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-16 1 1 10,28 10,28 10,28 10,28 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-19 1 1 10,23 10,23 10,23 10,23 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-20 1 1 10,21 10,21 10,21 10,21 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-21 1 1 10,36 10,36 10,36 10,36 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-22 1 1 10,36 10,36 10,36 10,36 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-23 1 1 10,38 10,38 10,38 10,38 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-27 1 1 10,41 10,41 10,41 10,41 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-28 1 1 10,27 10,27 10,27 10,27 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-29 1 1 10,34 10,34 10,34 10,34 753442 Robur Fonder AB Robur Globalfond MEGA SEK 2005-12-30 1 1 10,26 10,26 10,26 10,26 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-04 1 1 6,43 6,43 6,43 6,43 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-05 1 1 6,37 6,37 6,37 6,37 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-07 1 1 6,43 6,43 6,43 6,43 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-11 1 1 6,49 6,49 6,49 6,49 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-12 1 1 6,49 6,49 6,49 6,49 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-13 1 1 6,45 6,45 6,45 6,45 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-14 1 1 6,54 6,54 6,54 6,54 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-17 1 1 6,6 6,6 6,6 6,6 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-18 1 1 6,54 6,54 6,54 6,54 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-19 1 1 6,53 6,53 6,53 6,53 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-20 1 1 6,46 6,46 6,46 6,46 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-21 1 1 6,43 6,43 6,43 6,43 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-24 1 1 6,48 6,48 6,48 6,48 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-25 1 1 6,43 6,43 6,43 6,43 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-26 1 1 6,49 6,49 6,49 6,49 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-27 1 1 6,46 6,46 6,46 6,46 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-28 1 1 6,47 6,47 6,47 6,47 211748 Robur Fonder AB Robur Japanfond SEK 2005-01-31 1 1 6,49 6,49 6,49 6,49 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-01 1 1 6,47 6,47 6,47 6,47 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-02 1 1 6,46 6,46 6,46 6,46 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-03 1 1 6,43 6,43 6,43 6,43 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-04 1 1 6,47 6,47 6,47 6,47 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-07 1 1 6,54 6,54 6,54 6,54 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-08 1 1 6,51 6,51 6,51 6,51 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-09 1 1 6,49 6,49 6,49 6,49 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-10 1 1 6,5 6,5 6,5 6,5 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-14 1 1 6,56 6,56 6,56 6,56 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-15 1 1 6,56 6,56 6,56 6,56 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-16 1 1 6,51 6,51 6,51 6,51 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-17 1 1 6,46 6,46 6,46 6,46 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-18 1 1 6,49 6,49 6,49 6,49 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-21 1 1 6,49 6,49 6,49 6,49 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-22 1 1 6,46 6,46 6,46 6,46 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-23 1 1 6,34 6,34 6,34 6,34 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-24 1 1 6,33 6,33 6,33 6,33 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-25 1 1 6,39 6,39 6,39 6,39 211748 Robur Fonder AB Robur Japanfond SEK 2005-02-28 1 1 6,46 6,46 6,46 6,46 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-01 1 1 6,5 6,5 6,5 6,5 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-02 1 1 6,56 6,56 6,56 6,56 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-03 1 1 6,55 6,55 6,55 6,55 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-04 1 1 6,52 6,52 6,52 6,52 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-07 1 1 6,51 6,51 6,51 6,51 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-08 1 1 6,47 6,47 6,47 6,47 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-09 1 1 6,53 6,53 6,53 6,53 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-10 1 1 6,47 6,47 6,47 6,47 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-11 1 1 6,51 6,51 6,51 6,51 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-14 1 1 6,47 6,47 6,47 6,47 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-15 1 1 6,5 6,5 6,5 6,5 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-16 1 1 6,47 6,47 6,47 6,47 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-17 1 1 6,45 6,45 6,45 6,45 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-18 1 1 6,53 6,53 6,53 6,53 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-22 1 1 6,56 6,56 6,56 6,56 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-23 1 1 6,55 6,55 6,55 6,55 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-24 1 1 6,5 6,5 6,5 6,5 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-29 1 1 6,41 6,41 6,41 6,41 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-30 1 1 6,35 6,35 6,35 6,35 211748 Robur Fonder AB Robur Japanfond SEK 2005-03-31 1 1 6,47 6,47 6,47 6,47 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-01 1 1 6,5 6,5 6,5 6,5 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-04 1 1 6,49 6,49 6,49 6,49 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-05 1 1 6,52 6,52 6,52 6,52 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-06 1 1 6,52 6,52 6,52 6,52 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-07 1 1 6,52 6,52 6,52 6,52 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-08 1 1 6,58 6,58 6,58 6,58 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-11 1 1 6,49 6,49 6,49 6,49 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-12 1 1 6,42 6,42 6,42 6,42 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-13 1 1 6,45 6,45 6,45 6,45 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-14 1 1 6,43 6,43 6,43 6,43 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-15 1 1 6,31 6,31 6,31 6,31 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-18 1 1 6,05 6,05 6,05 6,05 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-19 1 1 6,16 6,16 6,16 6,16 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-20 1 1 6,16 6,16 6,16 6,16 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-21 1 1 6,08 6,08 6,08 6,08 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-22 1 1 6,18 6,18 6,18 6,18 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-25 1 1 6,23 6,23 6,23 6,23 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-26 1 1 6,2 6,2 6,2 6,2 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-27 1 1 6,2 6,2 6,2 6,2 211748 Robur Fonder AB Robur Japanfond SEK 2005-04-28 1 1 6,23 6,23 6,23 6,23 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-02 1 1 6,35 6,35 6,35 6,35 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-06 1 1 6,45 6,45 6,45 6,45 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-09 1 1 6,43 6,43 6,43 6,43 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-10 1 1 6,41 6,41 6,41 6,41 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-11 1 1 6,4 6,4 6,4 6,4 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-12 1 1 6,36 6,36 6,36 6,36 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-13 1 1 6,33 6,33 6,33 6,33 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-16 1 1 6,3 6,3 6,3 6,3 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-17 1 1 6,23 6,23 6,23 6,23 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-18 1 1 6,21 6,21 6,21 6,21 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-19 1 1 6,34 6,34 6,34 6,34 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-20 1 1 6,31 6,31 6,31 6,31 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-23 1 1 6,39 6,39 6,39 6,39 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-24 1 1 6,4 6,4 6,4 6,4 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-25 1 1 6,33 6,33 6,33 6,33 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-26 1 1 6,35 6,35 6,35 6,35 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-27 1 1 6,4 6,4 6,4 6,4 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-30 1 1 6,5 6,5 6,5 6,5 211748 Robur Fonder AB Robur Japanfond SEK 2005-05-31 1 1 6,53 6,53 6,53 6,53 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-01 1 1 6,58 6,58 6,58 6,58 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-02 1 1 6,58 6,58 6,58 6,58 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-03 1 1 6,6 6,6 6,6 6,6 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-07 1 1 6,6 6,6 6,6 6,6 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-08 1 1 6,65 6,65 6,65 6,65 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-09 1 1 6,6 6,6 6,6 6,6 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-10 1 1 6,67 6,67 6,67 6,67 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-13 1 1 6,69 6,69 6,69 6,69 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-14 1 1 6,69 6,69 6,69 6,69 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-15 1 1 6,71 6,71 6,71 6,71 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-16 1 1 6,74 6,74 6,74 6,74 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-17 1 1 6,71 6,71 6,71 6,71 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-20 1 1 6,71 6,71 6,71 6,71 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-21 1 1 6,76 6,76 6,76 6,76 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-22 1 1 6,82 6,82 6,82 6,82 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-23 1 1 6,93 6,93 6,93 6,93 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-27 1 1 6,75 6,75 6,75 6,75 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-28 1 1 6,83 6,83 6,83 6,83 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-29 1 1 6,9 6,9 6,9 6,9 211748 Robur Fonder AB Robur Japanfond SEK 2005-06-30 1 1 6,86 6,86 6,86 6,86 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-01 1 1 6,91 6,91 6,91 6,91 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-04 1 1 6,97 6,97 6,97 6,97 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-05 1 1 6,9 6,9 6,9 6,9 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-06 1 1 6,85 6,85 6,85 6,85 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-07 1 1 6,84 6,84 6,84 6,84 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-08 1 1 6,82 6,82 6,82 6,82 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-11 1 1 6,85 6,85 6,85 6,85 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-12 1 1 6,78 6,78 6,78 6,78 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-13 1 1 6,71 6,71 6,71 6,71 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-14 1 1 6,74 6,74 6,74 6,74 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-15 1 1 6,79 6,79 6,79 6,79 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-19 1 1 6,78 6,78 6,78 6,78 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-20 1 1 6,78 6,78 6,78 6,78 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-21 1 1 6,72 6,72 6,72 6,72 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-22 1 1 6,8 6,8 6,8 6,8 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-25 1 1 6,78 6,78 6,78 6,78 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-26 1 1 6,78 6,78 6,78 6,78 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-27 1 1 6,82 6,82 6,82 6,82 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-28 1 1 6,78 6,78 6,78 6,78 211748 Robur Fonder AB Robur Japanfond SEK 2005-07-29 1 1 6,76 6,76 6,76 6,76 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-01 1 1 6,75 6,75 6,75 6,75 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-02 1 1 6,77 6,77 6,77 6,77 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-03 1 1 6,76 6,76 6,76 6,76 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-04 1 1 6,64 6,64 6,64 6,64 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-05 1 1 6,53 6,53 6,53 6,53 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-08 1 1 6,53 6,53 6,53 6,53 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-09 1 1 6,59 6,59 6,59 6,59 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-10 1 1 6,79 6,79 6,79 6,79 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-11 1 1 6,91 6,91 6,91 6,91 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-12 1 1 6,95 6,95 6,95 6,95 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-15 1 1 6,99 6,99 6,99 6,99 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-16 1 1 7,05 7,05 7,05 7,05 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-17 1 1 7,04 7,04 7,04 7,04 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-18 1 1 7,09 7,09 7,09 7,09 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-19 1 1 7,1 7,1 7,1 7,1 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-22 1 1 7,25 7,25 7,25 7,25 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-23 1 1 7,24 7,24 7,24 7,24 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-24 1 1 7,21 7,21 7,21 7,21 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-25 1 1 7,17 7,17 7,17 7,17 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-26 1 1 7,18 7,18 7,18 7,18 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-29 1 1 7,06 7,06 7,06 7,06 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-30 1 1 7,17 7,17 7,17 7,17 211748 Robur Fonder AB Robur Japanfond SEK 2005-08-31 1 1 7,14 7,14 7,14 7,14 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-01 1 1 7,14 7,14 7,14 7,14 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-02 1 1 7,1 7,1 7,1 7,1 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-05 1 1 7,2 7,2 7,2 7,2 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-06 1 1 7,18 7,18 7,18 7,18 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-07 1 1 7,16 7,16 7,16 7,16 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-08 1 1 7,11 7,11 7,11 7,11 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-09 1 1 7,25 7,25 7,25 7,25 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-12 1 1 7,4 7,4 7,4 7,4 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-13 1 1 7,38 7,38 7,38 7,38 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-14 1 1 7,41 7,41 7,41 7,41 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-15 1 1 7,54 7,54 7,54 7,54 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-16 1 1 7,51 7,51 7,51 7,51 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-20 1 1 7,65 7,65 7,65 7,65 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-21 1 1 7,67 7,67 7,67 7,67 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-22 1 1 7,64 7,64 7,64 7,64 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-26 1 1 7,88 7,88 7,88 7,88 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-27 1 1 7,82 7,82 7,82 7,82 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-28 1 1 7,95 7,95 7,95 7,95 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-29 1 1 8,1 8,1 8,1 8,1 211748 Robur Fonder AB Robur Japanfond SEK 2005-09-30 1 1 8,01 8,01 8,01 8,01 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-03 1 1 8,02 8,02 8,02 8,02 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-04 1 1 8,04 8,04 8,04 8,04 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-05 1 1 7,98 7,98 7,98 7,98 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-06 1 1 7,65 7,65 7,65 7,65 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-07 1 1 7,68 7,68 7,68 7,68 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-11 1 1 7,93 7,93 7,93 7,93 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-12 1 1 7,91 7,91 7,91 7,91 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-13 1 1 7,98 7,98 7,98 7,98 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-14 1 1 7,95 7,95 7,95 7,95 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-17 1 1 7,89 7,89 7,89 7,89 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-18 1 1 7,86 7,86 7,86 7,86 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-19 1 1 7,76 7,76 7,76 7,76 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-20 1 1 7,8 7,8 7,8 7,8 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-21 1 1 7,76 7,76 7,76 7,76 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-24 1 1 7,82 7,82 7,82 7,82 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-25 1 1 7,83 7,83 7,83 7,83 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-26 1 1 7,89 7,89 7,89 7,89 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-27 1 1 8 8 8 8 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-28 1 1 7,96 7,96 7,96 7,96 211748 Robur Fonder AB Robur Japanfond SEK 2005-10-31 1 1 8,16 8,16 8,16 8,16 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-01 1 1 8,38 8,38 8,38 8,38 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-02 1 1 8,36 8,36 8,36 8,36 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-04 1 1 8,48 8,48 8,48 8,48 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-07 1 1 8,59 8,59 8,59 8,59 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-08 1 1 8,58 8,58 8,58 8,58 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-09 1 1 8,59 8,59 8,59 8,59 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-10 1 1 8,54 8,54 8,54 8,54 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-11 1 1 8,59 8,59 8,59 8,59 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-14 1 1 8,45 8,45 8,45 8,45 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-15 1 1 8,41 8,41 8,41 8,41 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-16 1 1 8,48 8,48 8,48 8,48 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-17 1 1 8,65 8,65 8,65 8,65 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-18 1 1 8,69 8,69 8,69 8,69 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-21 1 1 8,64 8,64 8,64 8,64 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-22 1 1 8,66 8,66 8,66 8,66 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-24 1 1 8,52 8,52 8,52 8,52 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-25 1 1 8,55 8,55 8,55 8,55 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-28 1 1 8,64 8,64 8,64 8,64 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-29 1 1 8,66 8,66 8,66 8,66 211748 Robur Fonder AB Robur Japanfond SEK 2005-11-30 1 1 8,61 8,61 8,61 8,61 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-01 1 1 8,71 8,71 8,71 8,71 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-02 1 1 8,76 8,76 8,76 8,76 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-05 1 1 8,78 8,78 8,78 8,78 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-06 1 1 8,67 8,67 8,67 8,67 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-07 1 1 8,79 8,79 8,79 8,79 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-08 1 1 8,64 8,64 8,64 8,64 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-12 1 1 8,87 8,87 8,87 8,87 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-13 1 1 8,9 8,9 8,9 8,9 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-14 1 1 8,88 8,88 8,88 8,88 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-15 1 1 8,87 8,87 8,87 8,87 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-16 1 1 8,9 8,9 8,9 8,9 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-19 1 1 8,92 8,92 8,92 8,92 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-20 1 1 9,05 9,05 9,05 9,05 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-21 1 1 9,2 9,2 9,2 9,2 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-22 1 1 9,28 9,28 9,28 9,28 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-27 1 1 9,23 9,23 9,23 9,23 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-28 1 1 9,2 9,2 9,2 9,2 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-29 1 1 9,28 9,28 9,28 9,28 211748 Robur Fonder AB Robur Japanfond SEK 2005-12-30 1 1 9,19 9,19 9,19 9,19 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-03 1 1 49,14 49,14 49,14 49,14 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-04 1 1 49,52 49,52 49,52 49,52 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-05 1 1 49,09 49,09 49,09 49,09 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-07 1 1 49,35 49,35 49,35 49,35 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-10 1 1 49,72 49,72 49,72 49,72 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-11 1 1 49,32 49,32 49,32 49,32 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-12 1 1 48,91 48,91 48,91 48,91 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-13 1 1 48,9 48,9 48,9 48,9 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-14 1 1 49,1 49,1 49,1 49,1 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-17 1 1 49,46 49,46 49,46 49,46 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-18 1 1 49,21 49,21 49,21 49,21 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-19 1 1 49,56 49,56 49,56 49,56 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-20 1 1 49,13 49,13 49,13 49,13 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-21 1 1 49,05 49,05 49,05 49,05 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-24 1 1 48,66 48,66 48,66 48,66 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-25 1 1 49,12 49,12 49,12 49,12 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-26 1 1 49,18 49,18 49,18 49,18 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-27 1 1 49,31 49,31 49,31 49,31 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-28 1 1 49,32 49,32 49,32 49,32 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-01-31 1 1 49,63 49,63 49,63 49,63 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-01 1 1 49,74 49,74 49,74 49,74 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-02 1 1 50,03 50,03 50,03 50,03 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-03 1 1 50,06 50,06 50,06 50,06 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-04 1 1 50,35 50,35 50,35 50,35 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-07 1 1 51,02 51,02 51,02 51,02 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-08 1 1 51,13 51,13 51,13 51,13 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-09 1 1 51,12 51,12 51,12 51,12 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-10 1 1 50,76 50,76 50,76 50,76 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-11 1 1 50,94 50,94 50,94 50,94 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-14 1 1 51,05 51,05 51,05 51,05 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-15 1 1 51,22 51,22 51,22 51,22 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-16 1 1 50,89 50,89 50,89 50,89 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-17 1 1 51,05 51,05 51,05 51,05 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-18 1 1 50,72 50,72 50,72 50,72 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-21 1 1 50,84 50,84 50,84 50,84 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-22 1 1 50,37 50,37 50,37 50,37 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-23 1 1 50,22 50,22 50,22 50,22 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-24 1 1 50,31 50,31 50,31 50,31 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-25 1 1 50,7 50,7 50,7 50,7 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-02-28 1 1 50,71 50,71 50,71 50,71 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-01 1 1 50,84 50,84 50,84 50,84 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-02 1 1 50,99 50,99 50,99 50,99 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-03 1 1 51,3 51,3 51,3 51,3 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-04 1 1 51,38 51,38 51,38 51,38 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-07 1 1 51,41 51,41 51,41 51,41 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-08 1 1 51,07 51,07 51,07 51,07 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-09 1 1 50,91 50,91 50,91 50,91 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-10 1 1 50,54 50,54 50,54 50,54 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-11 1 1 50,58 50,58 50,58 50,58 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-14 1 1 50,57 50,57 50,57 50,57 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-15 1 1 51 51 51 51 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-16 1 1 50,4 50,4 50,4 50,4 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-17 1 1 50,3 50,3 50,3 50,3 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-18 1 1 50,52 50,52 50,52 50,52 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-21 1 1 50,48 50,48 50,48 50,48 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-22 1 1 50,54 50,54 50,54 50,54 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-23 1 1 50,37 50,37 50,37 50,37 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-24 1 1 50,71 50,71 50,71 50,71 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-29 1 1 50,75 50,75 50,75 50,75 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-30 1 1 50,49 50,49 50,49 50,49 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-03-31 1 1 50,93 50,93 50,93 50,93 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-01 1 1 51,11 51,11 51,11 51,11 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-04 1 1 51,01 51,01 51,01 51,01 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-05 1 1 51,49 51,49 51,49 51,49 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-06 1 1 51,76 51,76 51,76 51,76 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-07 1 1 51,8 51,8 51,8 51,8 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-08 1 1 52,14 52,14 52,14 52,14 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-11 1 1 51,92 51,92 51,92 51,92 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-12 1 1 51,82 51,82 51,82 51,82 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-13 1 1 52,15 52,15 52,15 52,15 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-14 1 1 52,2 52,2 52,2 52,2 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-15 1 1 51,41 51,41 51,41 51,41 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-18 1 1 50,57 50,57 50,57 50,57 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-19 1 1 50,82 50,82 50,82 50,82 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-20 1 1 50,81 50,81 50,81 50,81 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-21 1 1 50,62 50,62 50,62 50,62 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-22 1 1 51,12 51,12 51,12 51,12 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-25 1 1 51,23 51,23 51,23 51,23 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-26 1 1 50,92 50,92 50,92 50,92 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-27 1 1 50,13 50,13 50,13 50,13 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-28 1 1 50,14 50,14 50,14 50,14 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-04-29 1 1 50,12 50,12 50,12 50,12 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-02 1 1 50,75 50,75 50,75 50,75 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-03 1 1 50,71 50,71 50,71 50,71 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-04 1 1 50,69 50,69 50,69 50,69 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-06 1 1 51,4 51,4 51,4 51,4 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-09 1 1 51,35 51,35 51,35 51,35 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-10 1 1 51,21 51,21 51,21 51,21 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-11 1 1 51,22 51,22 51,22 51,22 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-12 1 1 51,67 51,67 51,67 51,67 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-13 1 1 51,55 51,55 51,55 51,55 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-16 1 1 51,63 51,63 51,63 51,63 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-17 1 1 51,67 51,67 51,67 51,67 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-18 1 1 52,2 52,2 52,2 52,2 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-19 1 1 52,47 52,47 52,47 52,47 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-20 1 1 52,5 52,5 52,5 52,5 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-23 1 1 52,6 52,6 52,6 52,6 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-24 1 1 52,64 52,64 52,64 52,64 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-25 1 1 52,52 52,52 52,52 52,52 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-26 1 1 53,03 53,03 53,03 53,03 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-27 1 1 53,06 53,06 53,06 53,06 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-30 1 1 53,3 53,3 53,3 53,3 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-05-31 1 1 53,4 53,4 53,4 53,4 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-01 1 1 53,71 53,71 53,71 53,71 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-02 1 1 53,54 53,54 53,54 53,54 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-03 1 1 53,38 53,38 53,38 53,38 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-07 1 1 53,78 53,78 53,78 53,78 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-08 1 1 53,85 53,85 53,85 53,85 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-09 1 1 53,92 53,92 53,92 53,92 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-10 1 1 54,36 54,36 54,36 54,36 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-13 1 1 54,71 54,71 54,71 54,71 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-14 1 1 54,99 54,99 54,99 54,99 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-15 1 1 54,89 54,89 54,89 54,89 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-16 1 1 55,11 55,11 55,11 55,11 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-17 1 1 55,09 55,09 55,09 55,09 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-20 1 1 55,08 55,08 55,08 55,08 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-21 1 1 55,43 55,43 55,43 55,43 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-22 1 1 55,73 55,73 55,73 55,73 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-23 1 1 56,19 56,19 56,19 56,19 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-27 1 1 55,14 55,14 55,14 55,14 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-28 1 1 55,68 55,68 55,68 55,68 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-29 1 1 56,14 56,14 56,14 56,14 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-06-30 1 1 56,17 56,17 56,17 56,17 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-01 1 1 56,48 56,48 56,48 56,48 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-04 1 1 56,71 56,71 56,71 56,71 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-05 1 1 56,57 56,57 56,57 56,57 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-06 1 1 56,56 56,56 56,56 56,56 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-07 1 1 55,84 55,84 55,84 55,84 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-08 1 1 56,55 56,55 56,55 56,55 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-11 1 1 57,21 57,21 57,21 57,21 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-12 1 1 56,95 56,95 56,95 56,95 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-13 1 1 57,12 57,12 57,12 57,12 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-14 1 1 57,41 57,41 57,41 57,41 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-15 1 1 57,35 57,35 57,35 57,35 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-18 1 1 57,38 57,38 57,38 57,38 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-19 1 1 57,63 57,63 57,63 57,63 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-20 1 1 57,41 57,41 57,41 57,41 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-21 1 1 57,61 57,61 57,61 57,61 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-22 1 1 57,65 57,65 57,65 57,65 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-25 1 1 57,64 57,64 57,64 57,64 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-26 1 1 57,96 57,96 57,96 57,96 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-27 1 1 57,97 57,97 57,97 57,97 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-28 1 1 58,11 58,11 58,11 58,11 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-07-29 1 1 58,09 58,09 58,09 58,09 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-01 1 1 57,92 57,92 57,92 57,92 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-02 1 1 58,18 58,18 58,18 58,18 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-03 1 1 58,01 58,01 58,01 58,01 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-04 1 1 57,57 57,57 57,57 57,57 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-05 1 1 57,32 57,32 57,32 57,32 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-08 1 1 57,27 57,27 57,27 57,27 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-09 1 1 57,41 57,41 57,41 57,41 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-10 1 1 58,02 58,02 58,02 58,02 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-11 1 1 57,8 57,8 57,8 57,8 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-12 1 1 57,64 57,64 57,64 57,64 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-15 1 1 57,59 57,59 57,59 57,59 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-16 1 1 57,81 57,81 57,81 57,81 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-17 1 1 57,47 57,47 57,47 57,47 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-18 1 1 57,68 57,68 57,68 57,68 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-19 1 1 58,14 58,14 58,14 58,14 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-22 1 1 58,22 58,22 58,22 58,22 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-23 1 1 57,86 57,86 57,86 57,86 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-24 1 1 57,19 57,19 57,19 57,19 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-25 1 1 56,84 56,84 56,84 56,84 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-26 1 1 56,4 56,4 56,4 56,4 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-29 1 1 56,54 56,54 56,54 56,54 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-30 1 1 56,78 56,78 56,78 56,78 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-08-31 1 1 56,9 56,9 56,9 56,9 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-01 1 1 57,03 57,03 57,03 57,03 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-02 1 1 56,73 56,73 56,73 56,73 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-05 1 1 57,04 57,04 57,04 57,04 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-06 1 1 57,52 57,52 57,52 57,52 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-07 1 1 57,75 57,75 57,75 57,75 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-08 1 1 57,73 57,73 57,73 57,73 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-09 1 1 58,1 58,1 58,1 58,1 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-12 1 1 58,34 58,34 58,34 58,34 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-13 1 1 58,31 58,31 58,31 58,31 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-14 1 1 58,4 58,4 58,4 58,4 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-15 1 1 58,45 58,45 58,45 58,45 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-16 1 1 58,63 58,63 58,63 58,63 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-19 1 1 58,82 58,82 58,82 58,82 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-20 1 1 58,86 58,86 58,86 58,86 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-21 1 1 58,23 58,23 58,23 58,23 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-22 1 1 58,17 58,17 58,17 58,17 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-23 1 1 58,49 58,49 58,49 58,49 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-26 1 1 59,23 59,23 59,23 59,23 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-27 1 1 59,25 59,25 59,25 59,25 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-28 1 1 59,65 59,65 59,65 59,65 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-29 1 1 59,54 59,54 59,54 59,54 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-09-30 1 1 59,78 59,78 59,78 59,78 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-03 1 1 60,18 60,18 60,18 60,18 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-04 1 1 60,23 60,23 60,23 60,23 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-05 1 1 59,58 59,58 59,58 59,58 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-06 1 1 58,59 58,59 58,59 58,59 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-07 1 1 58,7 58,7 58,7 58,7 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-10 1 1 58,88 58,88 58,88 58,88 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-11 1 1 59,13 59,13 59,13 59,13 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-12 1 1 58,73 58,73 58,73 58,73 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-13 1 1 58,33 58,33 58,33 58,33 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-14 1 1 58,35 58,35 58,35 58,35 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-17 1 1 58,61 58,61 58,61 58,61 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-18 1 1 58,45 58,45 58,45 58,45 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-19 1 1 57,63 57,63 57,63 57,63 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-20 1 1 58,08 58,08 58,08 58,08 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-21 1 1 57,6 57,6 57,6 57,6 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-24 1 1 58,31 58,31 58,31 58,31 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-25 1 1 58,48 58,48 58,48 58,48 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-26 1 1 58,62 58,62 58,62 58,62 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-27 1 1 58,02 58,02 58,02 58,02 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-28 1 1 57,95 57,95 57,95 57,95 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-10-31 1 1 59,34 59,34 59,34 59,34 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-01 1 1 59,62 59,62 59,62 59,62 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-02 1 1 59,74 59,74 59,74 59,74 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-03 1 1 60,49 60,49 60,49 60,49 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-04 1 1 60,6 60,6 60,6 60,6 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-07 1 1 61,03 61,03 61,03 61,03 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-08 1 1 60,88 60,88 60,88 60,88 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-09 1 1 61,09 61,09 61,09 61,09 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-10 1 1 61,25 61,25 61,25 61,25 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-11 1 1 61,7 61,7 61,7 61,7 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-14 1 1 61,75 61,75 61,75 61,75 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-15 1 1 61,79 61,79 61,79 61,79 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-16 1 1 61,79 61,79 61,79 61,79 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-17 1 1 62,13 62,13 62,13 62,13 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-18 1 1 62,28 62,28 62,28 62,28 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-21 1 1 62,13 62,13 62,13 62,13 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-22 1 1 62,42 62,42 62,42 62,42 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-23 1 1 62,29 62,29 62,29 62,29 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-24 1 1 62,28 62,28 62,28 62,28 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-25 1 1 62,32 62,32 62,32 62,32 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-28 1 1 62,33 62,33 62,33 62,33 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-29 1 1 62,37 62,37 62,37 62,37 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-11-30 1 1 62,18 62,18 62,18 62,18 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-01 1 1 62,62 62,62 62,62 62,62 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-02 1 1 63,07 63,07 63,07 63,07 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-05 1 1 62,67 62,67 62,67 62,67 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-06 1 1 62,89 62,89 62,89 62,89 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-07 1 1 63,03 63,03 63,03 63,03 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-08 1 1 62,85 62,85 62,85 62,85 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-12 1 1 61,73 61,73 61,73 61,73 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-13 1 1 61,71 61,71 61,71 61,71 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-14 1 1 61,62 61,62 61,62 61,62 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-15 1 1 61,52 61,52 61,52 61,52 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-16 1 1 61,89 61,89 61,89 61,89 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-19 1 1 61,86 61,86 61,86 61,86 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-20 1 1 61,73 61,73 61,73 61,73 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-21 1 1 62,42 62,42 62,42 62,42 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-22 1 1 62,53 62,53 62,53 62,53 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-23 1 1 62,84 62,84 62,84 62,84 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-27 1 1 63,14 63,14 63,14 63,14 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-28 1 1 62,66 62,66 62,66 62,66 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-29 1 1 63 63 63 63 175919 Robur Fonder AB Robur Kapitalinvest SEK 2005-12-30 1 1 62,65 62,65 62,65 62,65 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-03 1 1 14,84 14,84 14,84 14,84 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-04 1 1 14,99 14,99 14,99 14,99 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-05 1 1 14,81 14,81 14,81 14,81 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-07 1 1 14,9 14,9 14,9 14,9 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-10 1 1 14,95 14,95 14,95 14,95 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-11 1 1 14,75 14,75 14,75 14,75 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-12 1 1 14,7 14,7 14,7 14,7 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-13 1 1 14,72 14,72 14,72 14,72 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-14 1 1 14,76 14,76 14,76 14,76 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-18 1 1 14,78 14,78 14,78 14,78 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-19 1 1 14,81 14,81 14,81 14,81 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-20 1 1 14,65 14,65 14,65 14,65 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-21 1 1 14,61 14,61 14,61 14,61 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-24 1 1 14,47 14,47 14,47 14,47 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-25 1 1 14,58 14,58 14,58 14,58 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-26 1 1 14,62 14,62 14,62 14,62 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-27 1 1 14,58 14,58 14,58 14,58 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-28 1 1 14,7 14,7 14,7 14,7 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-01-31 1 1 14,77 14,77 14,77 14,77 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-01 1 1 14,74 14,74 14,74 14,74 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-02 1 1 14,75 14,75 14,75 14,75 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-03 1 1 14,73 14,73 14,73 14,73 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-04 1 1 14,83 14,83 14,83 14,83 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-07 1 1 15,12 15,12 15,12 15,12 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-08 1 1 15,22 15,22 15,22 15,22 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-09 1 1 15,12 15,12 15,12 15,12 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-10 1 1 14,96 14,96 14,96 14,96 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-11 1 1 14,93 14,93 14,93 14,93 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-14 1 1 15,03 15,03 15,03 15,03 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-15 1 1 15,11 15,11 15,11 15,11 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-16 1 1 15,06 15,06 15,06 15,06 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-17 1 1 14,96 14,96 14,96 14,96 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-18 1 1 14,84 14,84 14,84 14,84 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-22 1 1 14,62 14,62 14,62 14,62 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-23 1 1 14,47 14,47 14,47 14,47 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-24 1 1 14,51 14,51 14,51 14,51 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-25 1 1 14,64 14,64 14,64 14,64 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-02-28 1 1 14,57 14,57 14,57 14,57 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-01 1 1 14,69 14,69 14,69 14,69 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-02 1 1 14,75 14,75 14,75 14,75 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-03 1 1 14,75 14,75 14,75 14,75 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-04 1 1 14,68 14,68 14,68 14,68 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-07 1 1 14,8 14,8 14,8 14,8 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-08 1 1 14,68 14,68 14,68 14,68 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-09 1 1 14,6 14,6 14,6 14,6 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-10 1 1 14,5 14,5 14,5 14,5 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-11 1 1 14,49 14,49 14,49 14,49 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-14 1 1 14,41 14,41 14,41 14,41 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-15 1 1 14,48 14,48 14,48 14,48 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-16 1 1 14,34 14,34 14,34 14,34 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-17 1 1 14,29 14,29 14,29 14,29 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-18 1 1 14,43 14,43 14,43 14,43 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-21 1 1 14,42 14,42 14,42 14,42 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-22 1 1 14,42 14,42 14,42 14,42 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-23 1 1 14,5 14,5 14,5 14,5 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-24 1 1 14,54 14,54 14,54 14,54 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-29 1 1 14,56 14,56 14,56 14,56 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-30 1 1 14,5 14,5 14,5 14,5 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-03-31 1 1 14,69 14,69 14,69 14,69 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-01 1 1 14,73 14,73 14,73 14,73 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-04 1 1 14,69 14,69 14,69 14,69 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-05 1 1 14,82 14,82 14,82 14,82 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-06 1 1 14,77 14,77 14,77 14,77 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-07 1 1 14,74 14,74 14,74 14,74 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-08 1 1 14,97 14,97 14,97 14,97 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-11 1 1 14,75 14,75 14,75 14,75 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-12 1 1 14,7 14,7 14,7 14,7 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-13 1 1 14,79 14,79 14,79 14,79 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-14 1 1 14,71 14,71 14,71 14,71 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-15 1 1 14,27 14,27 14,27 14,27 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-18 1 1 14,07 14,07 14,07 14,07 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-19 1 1 14,12 14,12 14,12 14,12 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-20 1 1 14,16 14,16 14,16 14,16 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-21 1 1 14,15 14,15 14,15 14,15 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-22 1 1 14,28 14,28 14,28 14,28 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-25 1 1 14,35 14,35 14,35 14,35 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-26 1 1 14,25 14,25 14,25 14,25 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-27 1 1 14,07 14,07 14,07 14,07 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-28 1 1 14,17 14,17 14,17 14,17 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-04-29 1 1 14,15 14,15 14,15 14,15 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-02 1 1 14,36 14,36 14,36 14,36 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-03 1 1 14,34 14,34 14,34 14,34 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-04 1 1 14,3 14,3 14,3 14,3 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-06 1 1 14,55 14,55 14,55 14,55 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-09 1 1 14,52 14,52 14,52 14,52 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-10 1 1 14,52 14,52 14,52 14,52 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-11 1 1 14,53 14,53 14,53 14,53 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-12 1 1 14,71 14,71 14,71 14,71 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-13 1 1 14,8 14,8 14,8 14,8 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-16 1 1 14,89 14,89 14,89 14,89 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-17 1 1 14,87 14,87 14,87 14,87 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-18 1 1 14,99 14,99 14,99 14,99 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-19 1 1 15,2 15,2 15,2 15,2 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-20 1 1 15,26 15,26 15,26 15,26 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-23 1 1 15,32 15,32 15,32 15,32 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-24 1 1 15,25 15,25 15,25 15,25 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-25 1 1 15,19 15,19 15,19 15,19 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-26 1 1 15,44 15,44 15,44 15,44 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-27 1 1 15,39 15,39 15,39 15,39 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-05-31 1 1 15,56 15,56 15,56 15,56 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-01 1 1 15,69 15,69 15,69 15,69 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-02 1 1 15,66 15,66 15,66 15,66 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-03 1 1 15,62 15,62 15,62 15,62 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-07 1 1 15,65 15,65 15,65 15,65 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-08 1 1 15,59 15,59 15,59 15,59 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-09 1 1 15,62 15,62 15,62 15,62 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-10 1 1 15,77 15,77 15,77 15,77 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-13 1 1 15,92 15,92 15,92 15,92 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-14 1 1 15,97 15,97 15,97 15,97 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-15 1 1 15,91 15,91 15,91 15,91 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-16 1 1 15,97 15,97 15,97 15,97 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-17 1 1 15,82 15,82 15,82 15,82 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-20 1 1 15,85 15,85 15,85 15,85 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-21 1 1 16,01 16,01 16,01 16,01 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-22 1 1 16,17 16,17 16,17 16,17 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-23 1 1 16,36 16,36 16,36 16,36 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-27 1 1 15,91 15,91 15,91 15,91 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-28 1 1 16,1 16,1 16,1 16,1 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-29 1 1 16,34 16,34 16,34 16,34 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-06-30 1 1 16,33 16,33 16,33 16,33 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-01 1 1 16,41 16,41 16,41 16,41 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-05 1 1 16,33 16,33 16,33 16,33 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-06 1 1 16,33 16,33 16,33 16,33 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-07 1 1 16,18 16,18 16,18 16,18 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-08 1 1 16,4 16,4 16,4 16,4 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-11 1 1 16,64 16,64 16,64 16,64 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-12 1 1 16,49 16,49 16,49 16,49 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-13 1 1 16,55 16,55 16,55 16,55 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-14 1 1 16,76 16,76 16,76 16,76 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-15 1 1 16,77 16,77 16,77 16,77 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-18 1 1 16,75 16,75 16,75 16,75 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-19 1 1 16,94 16,94 16,94 16,94 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-20 1 1 16,82 16,82 16,82 16,82 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-21 1 1 16,75 16,75 16,75 16,75 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-22 1 1 16,71 16,71 16,71 16,71 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-25 1 1 16,74 16,74 16,74 16,74 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-26 1 1 16,87 16,87 16,87 16,87 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-27 1 1 16,87 16,87 16,87 16,87 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-28 1 1 16,87 16,87 16,87 16,87 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-07-29 1 1 16,82 16,82 16,82 16,82 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-01 1 1 16,7 16,7 16,7 16,7 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-02 1 1 16,76 16,76 16,76 16,76 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-03 1 1 16,7 16,7 16,7 16,7 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-04 1 1 16,53 16,53 16,53 16,53 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-05 1 1 16,42 16,42 16,42 16,42 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-08 1 1 16,38 16,38 16,38 16,38 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-09 1 1 16,46 16,46 16,46 16,46 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-10 1 1 16,54 16,54 16,54 16,54 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-11 1 1 16,33 16,33 16,33 16,33 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-12 1 1 16,24 16,24 16,24 16,24 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-15 1 1 16,24 16,24 16,24 16,24 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-16 1 1 16,36 16,36 16,36 16,36 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-17 1 1 16,37 16,37 16,37 16,37 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-18 1 1 16,45 16,45 16,45 16,45 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-19 1 1 16,6 16,6 16,6 16,6 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-22 1 1 16,61 16,61 16,61 16,61 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-23 1 1 16,52 16,52 16,52 16,52 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-24 1 1 16,35 16,35 16,35 16,35 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-25 1 1 16,28 16,28 16,28 16,28 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-26 1 1 16,11 16,11 16,11 16,11 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-29 1 1 16,15 16,15 16,15 16,15 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-30 1 1 16,26 16,26 16,26 16,26 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-08-31 1 1 16,21 16,21 16,21 16,21 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-01 1 1 16,12 16,12 16,12 16,12 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-02 1 1 15,95 15,95 15,95 15,95 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-06 1 1 16,12 16,12 16,12 16,12 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-07 1 1 16,18 16,18 16,18 16,18 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-08 1 1 16,3 16,3 16,3 16,3 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-09 1 1 16,36 16,36 16,36 16,36 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-12 1 1 16,51 16,51 16,51 16,51 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-13 1 1 16,53 16,53 16,53 16,53 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-14 1 1 16,56 16,56 16,56 16,56 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-15 1 1 16,53 16,53 16,53 16,53 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-16 1 1 16,58 16,58 16,58 16,58 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-19 1 1 16,6 16,6 16,6 16,6 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-20 1 1 16,64 16,64 16,64 16,64 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-21 1 1 16,35 16,35 16,35 16,35 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-22 1 1 16,26 16,26 16,26 16,26 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-23 1 1 16,4 16,4 16,4 16,4 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-26 1 1 16,6 16,6 16,6 16,6 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-27 1 1 16,53 16,53 16,53 16,53 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-28 1 1 16,57 16,57 16,57 16,57 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-29 1 1 16,46 16,46 16,46 16,46 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-09-30 1 1 16,58 16,58 16,58 16,58 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-03 1 1 16,77 16,77 16,77 16,77 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-04 1 1 16,81 16,81 16,81 16,81 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-05 1 1 16,58 16,58 16,58 16,58 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-06 1 1 16,26 16,26 16,26 16,26 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-07 1 1 16,24 16,24 16,24 16,24 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-10 1 1 16,23 16,23 16,23 16,23 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-11 1 1 16,28 16,28 16,28 16,28 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-12 1 1 16,1 16,1 16,1 16,1 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-13 1 1 16,16 16,16 16,16 16,16 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-14 1 1 16,22 16,22 16,22 16,22 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-17 1 1 16,34 16,34 16,34 16,34 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-18 1 1 16,37 16,37 16,37 16,37 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-19 1 1 16,18 16,18 16,18 16,18 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-20 1 1 16,42 16,42 16,42 16,42 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-21 1 1 16,36 16,36 16,36 16,36 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-24 1 1 16,59 16,59 16,59 16,59 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-25 1 1 16,51 16,51 16,51 16,51 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-26 1 1 16,51 16,51 16,51 16,51 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-27 1 1 16,26 16,26 16,26 16,26 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-28 1 1 16,27 16,27 16,27 16,27 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-10-31 1 1 16,69 16,69 16,69 16,69 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-01 1 1 16,84 16,84 16,84 16,84 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-02 1 1 16,81 16,81 16,81 16,81 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-03 1 1 17,05 17,05 17,05 17,05 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-04 1 1 17,15 17,15 17,15 17,15 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-07 1 1 17,35 17,35 17,35 17,35 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-08 1 1 17,31 17,31 17,31 17,31 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-09 1 1 17,42 17,42 17,42 17,42 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-10 1 1 17,47 17,47 17,47 17,47 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-11 1 1 17,57 17,57 17,57 17,57 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-14 1 1 17,53 17,53 17,53 17,53 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-15 1 1 17,51 17,51 17,51 17,51 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-16 1 1 17,43 17,43 17,43 17,43 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-17 1 1 17,55 17,55 17,55 17,55 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-18 1 1 17,62 17,62 17,62 17,62 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-21 1 1 17,47 17,47 17,47 17,47 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-22 1 1 17,65 17,65 17,65 17,65 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-23 1 1 17,59 17,59 17,59 17,59 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-25 1 1 17,62 17,62 17,62 17,62 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-28 1 1 17,59 17,59 17,59 17,59 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-29 1 1 17,67 17,67 17,67 17,67 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-11-30 1 1 17,61 17,61 17,61 17,61 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-01 1 1 17,79 17,79 17,79 17,79 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-02 1 1 17,85 17,85 17,85 17,85 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-05 1 1 17,61 17,61 17,61 17,61 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-06 1 1 17,59 17,59 17,59 17,59 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-07 1 1 17,66 17,66 17,66 17,66 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-08 1 1 17,57 17,57 17,57 17,57 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-12 1 1 17,16 17,16 17,16 17,16 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-13 1 1 17,15 17,15 17,15 17,15 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-14 1 1 17,11 17,11 17,11 17,11 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-15 1 1 17,05 17,05 17,05 17,05 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-16 1 1 17,05 17,05 17,05 17,05 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-19 1 1 17 17 17 17 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-20 1 1 16,88 16,88 16,88 16,88 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-21 1 1 17,05 17,05 17,05 17,05 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-22 1 1 17,07 17,07 17,07 17,07 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-23 1 1 17,18 17,18 17,18 17,18 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-27 1 1 17,21 17,21 17,21 17,21 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-28 1 1 16,94 16,94 16,94 16,94 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-29 1 1 17,07 17,07 17,07 17,07 140087 Robur Fonder AB Robur Kommunikationsfond SEK 2005-12-30 1 1 16,89 16,89 16,89 16,89 928341 Robur Fonder AB Robur Medica SEK 2005-01-03 1 1 7,61 7,61 7,61 7,61 928341 Robur Fonder AB Robur Medica SEK 2005-01-04 1 1 7,69 7,69 7,69 7,69 928341 Robur Fonder AB Robur Medica SEK 2005-01-05 1 1 7,66 7,66 7,66 7,66 928341 Robur Fonder AB Robur Medica SEK 2005-01-07 1 1 7,77 7,77 7,77 7,77 928341 Robur Fonder AB Robur Medica SEK 2005-01-10 1 1 7,81 7,81 7,81 7,81 928341 Robur Fonder AB Robur Medica SEK 2005-01-11 1 1 7,74 7,74 7,74 7,74 928341 Robur Fonder AB Robur Medica SEK 2005-01-12 1 1 7,7 7,7 7,7 7,7 928341 Robur Fonder AB Robur Medica SEK 2005-01-13 1 1 7,71 7,71 7,71 7,71 928341 Robur Fonder AB Robur Medica SEK 2005-01-14 1 1 7,69 7,69 7,69 7,69 928341 Robur Fonder AB Robur Medica SEK 2005-01-18 1 1 7,74 7,74 7,74 7,74 928341 Robur Fonder AB Robur Medica SEK 2005-01-19 1 1 7,78 7,78 7,78 7,78 928341 Robur Fonder AB Robur Medica SEK 2005-01-20 1 1 7,78 7,78 7,78 7,78 928341 Robur Fonder AB Robur Medica SEK 2005-01-21 1 1 7,71 7,71 7,71 7,71 928341 Robur Fonder AB Robur Medica SEK 2005-01-24 1 1 7,67 7,67 7,67 7,67 928341 Robur Fonder AB Robur Medica SEK 2005-01-25 1 1 7,73 7,73 7,73 7,73 928341 Robur Fonder AB Robur Medica SEK 2005-01-26 1 1 7,73 7,73 7,73 7,73 928341 Robur Fonder AB Robur Medica SEK 2005-01-27 1 1 7,73 7,73 7,73 7,73 928341 Robur Fonder AB Robur Medica SEK 2005-01-28 1 1 7,76 7,76 7,76 7,76 928341 Robur Fonder AB Robur Medica SEK 2005-01-31 1 1 7,77 7,77 7,77 7,77 928341 Robur Fonder AB Robur Medica SEK 2005-02-01 1 1 7,76 7,76 7,76 7,76 928341 Robur Fonder AB Robur Medica SEK 2005-02-02 1 1 7,79 7,79 7,79 7,79 928341 Robur Fonder AB Robur Medica SEK 2005-02-03 1 1 7,84 7,84 7,84 7,84 928341 Robur Fonder AB Robur Medica SEK 2005-02-04 1 1 7,89 7,89 7,89 7,89 928341 Robur Fonder AB Robur Medica SEK 2005-02-07 1 1 7,97 7,97 7,97 7,97 928341 Robur Fonder AB Robur Medica SEK 2005-02-08 1 1 8,01 8,01 8,01 8,01 928341 Robur Fonder AB Robur Medica SEK 2005-02-09 1 1 7,99 7,99 7,99 7,99 928341 Robur Fonder AB Robur Medica SEK 2005-02-10 1 1 7,92 7,92 7,92 7,92 928341 Robur Fonder AB Robur Medica SEK 2005-02-11 1 1 7,93 7,93 7,93 7,93 928341 Robur Fonder AB Robur Medica SEK 2005-02-14 1 1 7,94 7,94 7,94 7,94 928341 Robur Fonder AB Robur Medica SEK 2005-02-15 1 1 7,94 7,94 7,94 7,94 928341 Robur Fonder AB Robur Medica SEK 2005-02-16 1 1 7,92 7,92 7,92 7,92 928341 Robur Fonder AB Robur Medica SEK 2005-02-17 1 1 7,91 7,91 7,91 7,91 928341 Robur Fonder AB Robur Medica SEK 2005-02-18 1 1 7,92 7,92 7,92 7,92 928341 Robur Fonder AB Robur Medica SEK 2005-02-22 1 1 7,96 7,96 7,96 7,96 928341 Robur Fonder AB Robur Medica SEK 2005-02-23 1 1 7,88 7,88 7,88 7,88 928341 Robur Fonder AB Robur Medica SEK 2005-02-24 1 1 7,84 7,84 7,84 7,84 928341 Robur Fonder AB Robur Medica SEK 2005-02-25 1 1 7,94 7,94 7,94 7,94 928341 Robur Fonder AB Robur Medica SEK 2005-02-28 1 1 7,8 7,8 7,8 7,8 928341 Robur Fonder AB Robur Medica SEK 2005-03-01 1 1 7,86 7,86 7,86 7,86 928341 Robur Fonder AB Robur Medica SEK 2005-03-02 1 1 7,92 7,92 7,92 7,92 928341 Robur Fonder AB Robur Medica SEK 2005-03-03 1 1 7,94 7,94 7,94 7,94 928341 Robur Fonder AB Robur Medica SEK 2005-03-04 1 1 7,93 7,93 7,93 7,93 928341 Robur Fonder AB Robur Medica SEK 2005-03-07 1 1 7,93 7,93 7,93 7,93 928341 Robur Fonder AB Robur Medica SEK 2005-03-08 1 1 7,82 7,82 7,82 7,82 928341 Robur Fonder AB Robur Medica SEK 2005-03-09 1 1 7,76 7,76 7,76 7,76 928341 Robur Fonder AB Robur Medica SEK 2005-03-10 1 1 7,79 7,79 7,79 7,79 928341 Robur Fonder AB Robur Medica SEK 2005-03-11 1 1 7,76 7,76 7,76 7,76 928341 Robur Fonder AB Robur Medica SEK 2005-03-14 1 1 7,74 7,74 7,74 7,74 928341 Robur Fonder AB Robur Medica SEK 2005-03-15 1 1 7,82 7,82 7,82 7,82 928341 Robur Fonder AB Robur Medica SEK 2005-03-16 1 1 7,73 7,73 7,73 7,73 928341 Robur Fonder AB Robur Medica SEK 2005-03-17 1 1 7,7 7,7 7,7 7,7 928341 Robur Fonder AB Robur Medica SEK 2005-03-18 1 1 7,73 7,73 7,73 7,73 928341 Robur Fonder AB Robur Medica SEK 2005-03-21 1 1 7,76 7,76 7,76 7,76 928341 Robur Fonder AB Robur Medica SEK 2005-03-22 1 1 7,78 7,78 7,78 7,78 928341 Robur Fonder AB Robur Medica SEK 2005-03-23 1 1 7,85 7,85 7,85 7,85 928341 Robur Fonder AB Robur Medica SEK 2005-03-24 1 1 7,88 7,88 7,88 7,88 928341 Robur Fonder AB Robur Medica SEK 2005-03-29 1 1 7,9 7,9 7,9 7,9 928341 Robur Fonder AB Robur Medica SEK 2005-03-30 1 1 7,88 7,88 7,88 7,88 928341 Robur Fonder AB Robur Medica SEK 2005-03-31 1 1 7,9 7,9 7,9 7,9 928341 Robur Fonder AB Robur Medica SEK 2005-04-01 1 1 7,95 7,95 7,95 7,95 928341 Robur Fonder AB Robur Medica SEK 2005-04-04 1 1 7,94 7,94 7,94 7,94 928341 Robur Fonder AB Robur Medica SEK 2005-04-05 1 1 8,08 8,08 8,08 8,08 928341 Robur Fonder AB Robur Medica SEK 2005-04-06 1 1 8,14 8,14 8,14 8,14 928341 Robur Fonder AB Robur Medica SEK 2005-04-07 1 1 8,07 8,07 8,07 8,07 928341 Robur Fonder AB Robur Medica SEK 2005-04-08 1 1 8,17 8,17 8,17 8,17 928341 Robur Fonder AB Robur Medica SEK 2005-04-11 1 1 8,1 8,1 8,1 8,1 928341 Robur Fonder AB Robur Medica SEK 2005-04-12 1 1 8,07 8,07 8,07 8,07 928341 Robur Fonder AB Robur Medica SEK 2005-04-13 1 1 8,14 8,14 8,14 8,14 928341 Robur Fonder AB Robur Medica SEK 2005-04-14 1 1 8,23 8,23 8,23 8,23 928341 Robur Fonder AB Robur Medica SEK 2005-04-15 1 1 8,31 8,31 8,31 8,31 928341 Robur Fonder AB Robur Medica SEK 2005-04-18 1 1 8,15 8,15 8,15 8,15 928341 Robur Fonder AB Robur Medica SEK 2005-04-19 1 1 8,19 8,19 8,19 8,19 928341 Robur Fonder AB Robur Medica SEK 2005-04-20 1 1 8,15 8,15 8,15 8,15 928341 Robur Fonder AB Robur Medica SEK 2005-04-21 1 1 8,09 8,09 8,09 8,09 928341 Robur Fonder AB Robur Medica SEK 2005-04-22 1 1 8,13 8,13 8,13 8,13 928341 Robur Fonder AB Robur Medica SEK 2005-04-25 1 1 8,16 8,16 8,16 8,16 928341 Robur Fonder AB Robur Medica SEK 2005-04-26 1 1 8,17 8,17 8,17 8,17 928341 Robur Fonder AB Robur Medica SEK 2005-04-27 1 1 8,13 8,13 8,13 8,13 928341 Robur Fonder AB Robur Medica SEK 2005-04-28 1 1 8,28 8,28 8,28 8,28 928341 Robur Fonder AB Robur Medica SEK 2005-04-29 1 1 8,28 8,28 8,28 8,28 928341 Robur Fonder AB Robur Medica SEK 2005-05-02 1 1 8,4 8,4 8,4 8,4 928341 Robur Fonder AB Robur Medica SEK 2005-05-03 1 1 8,43 8,43 8,43 8,43 928341 Robur Fonder AB Robur Medica SEK 2005-05-04 1 1 8,44 8,44 8,44 8,44 928341 Robur Fonder AB Robur Medica SEK 2005-05-06 1 1 8,53 8,53 8,53 8,53 928341 Robur Fonder AB Robur Medica SEK 2005-05-09 1 1 8,49 8,49 8,49 8,49 928341 Robur Fonder AB Robur Medica SEK 2005-05-10 1 1 8,52 8,52 8,52 8,52 928341 Robur Fonder AB Robur Medica SEK 2005-05-11 1 1 8,54 8,54 8,54 8,54 928341 Robur Fonder AB Robur Medica SEK 2005-05-12 1 1 8,64 8,64 8,64 8,64 928341 Robur Fonder AB Robur Medica SEK 2005-05-13 1 1 8,61 8,61 8,61 8,61 928341 Robur Fonder AB Robur Medica SEK 2005-05-16 1 1 8,64 8,64 8,64 8,64 928341 Robur Fonder AB Robur Medica SEK 2005-05-17 1 1 8,62 8,62 8,62 8,62 928341 Robur Fonder AB Robur Medica SEK 2005-05-18 1 1 8,68 8,68 8,68 8,68 928341 Robur Fonder AB Robur Medica SEK 2005-05-19 1 1 8,67 8,67 8,67 8,67 928341 Robur Fonder AB Robur Medica SEK 2005-05-20 1 1 8,68 8,68 8,68 8,68 928341 Robur Fonder AB Robur Medica SEK 2005-05-23 1 1 8,68 8,68 8,68 8,68 928341 Robur Fonder AB Robur Medica SEK 2005-05-24 1 1 8,76 8,76 8,76 8,76 928341 Robur Fonder AB Robur Medica SEK 2005-05-25 1 1 8,73 8,73 8,73 8,73 928341 Robur Fonder AB Robur Medica SEK 2005-05-26 1 1 8,81 8,81 8,81 8,81 928341 Robur Fonder AB Robur Medica SEK 2005-05-27 1 1 8,77 8,77 8,77 8,77 928341 Robur Fonder AB Robur Medica SEK 2005-05-31 1 1 8,83 8,83 8,83 8,83 928341 Robur Fonder AB Robur Medica SEK 2005-06-01 1 1 8,92 8,92 8,92 8,92 928341 Robur Fonder AB Robur Medica SEK 2005-06-02 1 1 8,86 8,86 8,86 8,86 928341 Robur Fonder AB Robur Medica SEK 2005-06-03 1 1 8,85 8,85 8,85 8,85 928341 Robur Fonder AB Robur Medica SEK 2005-06-07 1 1 8,9 8,9 8,9 8,9 928341 Robur Fonder AB Robur Medica SEK 2005-06-08 1 1 8,85 8,85 8,85 8,85 928341 Robur Fonder AB Robur Medica SEK 2005-06-09 1 1 8,9 8,9 8,9 8,9 928341 Robur Fonder AB Robur Medica SEK 2005-06-10 1 1 8,99 8,99 8,99 8,99 928341 Robur Fonder AB Robur Medica SEK 2005-06-13 1 1 9,08 9,08 9,08 9,08 928341 Robur Fonder AB Robur Medica SEK 2005-06-14 1 1 9,11 9,11 9,11 9,11 928341 Robur Fonder AB Robur Medica SEK 2005-06-15 1 1 9,1 9,1 9,1 9,1 928341 Robur Fonder AB Robur Medica SEK 2005-06-16 1 1 9,1 9,1 9,1 9,1 928341 Robur Fonder AB Robur Medica SEK 2005-06-17 1 1 9,03 9,03 9,03 9,03 928341 Robur Fonder AB Robur Medica SEK 2005-06-20 1 1 9,07 9,07 9,07 9,07 928341 Robur Fonder AB Robur Medica SEK 2005-06-21 1 1 9,15 9,15 9,15 9,15 928341 Robur Fonder AB Robur Medica SEK 2005-06-22 1 1 9,2 9,2 9,2 9,2 928341 Robur Fonder AB Robur Medica SEK 2005-06-23 1 1 9,26 9,26 9,26 9,26 928341 Robur Fonder AB Robur Medica SEK 2005-06-27 1 1 9,09 9,09 9,09 9,09 928341 Robur Fonder AB Robur Medica SEK 2005-06-28 1 1 9,19 9,19 9,19 9,19 928341 Robur Fonder AB Robur Medica SEK 2005-06-29 1 1 9,3 9,3 9,3 9,3 928341 Robur Fonder AB Robur Medica SEK 2005-06-30 1 1 9,27 9,27 9,27 9,27 928341 Robur Fonder AB Robur Medica SEK 2005-07-01 1 1 9,29 9,29 9,29 9,29 928341 Robur Fonder AB Robur Medica SEK 2005-07-05 1 1 9,3 9,3 9,3 9,3 928341 Robur Fonder AB Robur Medica SEK 2005-07-06 1 1 9,28 9,28 9,28 9,28 928341 Robur Fonder AB Robur Medica SEK 2005-07-07 1 1 9,21 9,21 9,21 9,21 928341 Robur Fonder AB Robur Medica SEK 2005-07-08 1 1 9,27 9,27 9,27 9,27 928341 Robur Fonder AB Robur Medica SEK 2005-07-11 1 1 9,35 9,35 9,35 9,35 928341 Robur Fonder AB Robur Medica SEK 2005-07-12 1 1 9,2 9,2 9,2 9,2 928341 Robur Fonder AB Robur Medica SEK 2005-07-13 1 1 9,16 9,16 9,16 9,16 928341 Robur Fonder AB Robur Medica SEK 2005-07-14 1 1 9,23 9,23 9,23 9,23 928341 Robur Fonder AB Robur Medica SEK 2005-07-15 1 1 9,26 9,26 9,26 9,26 928341 Robur Fonder AB Robur Medica SEK 2005-07-18 1 1 9,26 9,26 9,26 9,26 928341 Robur Fonder AB Robur Medica SEK 2005-07-19 1 1 9,29 9,29 9,29 9,29 928341 Robur Fonder AB Robur Medica SEK 2005-07-20 1 1 9,38 9,38 9,38 9,38 928341 Robur Fonder AB Robur Medica SEK 2005-07-21 1 1 9,29 9,29 9,29 9,29 928341 Robur Fonder AB Robur Medica SEK 2005-07-22 1 1 9,26 9,26 9,26 9,26 928341 Robur Fonder AB Robur Medica SEK 2005-07-25 1 1 9,26 9,26 9,26 9,26 928341 Robur Fonder AB Robur Medica SEK 2005-07-26 1 1 9,32 9,32 9,32 9,32 928341 Robur Fonder AB Robur Medica SEK 2005-07-27 1 1 9,31 9,31 9,31 9,31 928341 Robur Fonder AB Robur Medica SEK 2005-07-28 1 1 9,34 9,34 9,34 9,34 928341 Robur Fonder AB Robur Medica SEK 2005-07-29 1 1 9,39 9,39 9,39 9,39 928341 Robur Fonder AB Robur Medica SEK 2005-08-01 1 1 9,35 9,35 9,35 9,35 928341 Robur Fonder AB Robur Medica SEK 2005-08-02 1 1 9,36 9,36 9,36 9,36 928341 Robur Fonder AB Robur Medica SEK 2005-08-03 1 1 9,31 9,31 9,31 9,31 928341 Robur Fonder AB Robur Medica SEK 2005-08-04 1 1 9,25 9,25 9,25 9,25 928341 Robur Fonder AB Robur Medica SEK 2005-08-05 1 1 9,16 9,16 9,16 9,16 928341 Robur Fonder AB Robur Medica SEK 2005-08-08 1 1 9,13 9,13 9,13 9,13 928341 Robur Fonder AB Robur Medica SEK 2005-08-09 1 1 9,15 9,15 9,15 9,15 928341 Robur Fonder AB Robur Medica SEK 2005-08-10 1 1 9,21 9,21 9,21 9,21 928341 Robur Fonder AB Robur Medica SEK 2005-08-11 1 1 9,15 9,15 9,15 9,15 928341 Robur Fonder AB Robur Medica SEK 2005-08-12 1 1 9,15 9,15 9,15 9,15 928341 Robur Fonder AB Robur Medica SEK 2005-08-15 1 1 9,13 9,13 9,13 9,13 928341 Robur Fonder AB Robur Medica SEK 2005-08-16 1 1 9,19 9,19 9,19 9,19 928341 Robur Fonder AB Robur Medica SEK 2005-08-17 1 1 9,19 9,19 9,19 9,19 928341 Robur Fonder AB Robur Medica SEK 2005-08-18 1 1 9,28 9,28 9,28 9,28 928341 Robur Fonder AB Robur Medica SEK 2005-08-19 1 1 9,33 9,33 9,33 9,33 928341 Robur Fonder AB Robur Medica SEK 2005-08-22 1 1 9,28 9,28 9,28 9,28 928341 Robur Fonder AB Robur Medica SEK 2005-08-23 1 1 9,21 9,21 9,21 9,21 928341 Robur Fonder AB Robur Medica SEK 2005-08-24 1 1 9,11 9,11 9,11 9,11 928341 Robur Fonder AB Robur Medica SEK 2005-08-25 1 1 9,11 9,11 9,11 9,11 928341 Robur Fonder AB Robur Medica SEK 2005-08-26 1 1 9,02 9,02 9,02 9,02 928341 Robur Fonder AB Robur Medica SEK 2005-08-29 1 1 9,05 9,05 9,05 9,05 928341 Robur Fonder AB Robur Medica SEK 2005-08-30 1 1 9,16 9,16 9,16 9,16 928341 Robur Fonder AB Robur Medica SEK 2005-08-31 1 1 9,14 9,14 9,14 9,14 928341 Robur Fonder AB Robur Medica SEK 2005-09-01 1 1 9,14 9,14 9,14 9,14 928341 Robur Fonder AB Robur Medica SEK 2005-09-02 1 1 9,06 9,06 9,06 9,06 928341 Robur Fonder AB Robur Medica SEK 2005-09-06 1 1 9,18 9,18 9,18 9,18 928341 Robur Fonder AB Robur Medica SEK 2005-09-07 1 1 9,31 9,31 9,31 9,31 928341 Robur Fonder AB Robur Medica SEK 2005-09-08 1 1 9,34 9,34 9,34 9,34 928341 Robur Fonder AB Robur Medica SEK 2005-09-09 1 1 9,37 9,37 9,37 9,37 928341 Robur Fonder AB Robur Medica SEK 2005-09-12 1 1 9,43 9,43 9,43 9,43 928341 Robur Fonder AB Robur Medica SEK 2005-09-13 1 1 9,38 9,38 9,38 9,38 928341 Robur Fonder AB Robur Medica SEK 2005-09-14 1 1 9,37 9,37 9,37 9,37 928341 Robur Fonder AB Robur Medica SEK 2005-09-15 1 1 9,4 9,4 9,4 9,4 928341 Robur Fonder AB Robur Medica SEK 2005-09-16 1 1 9,4 9,4 9,4 9,4 928341 Robur Fonder AB Robur Medica SEK 2005-09-19 1 1 9,45 9,45 9,45 9,45 928341 Robur Fonder AB Robur Medica SEK 2005-09-20 1 1 9,44 9,44 9,44 9,44 928341 Robur Fonder AB Robur Medica SEK 2005-09-21 1 1 9,34 9,34 9,34 9,34 928341 Robur Fonder AB Robur Medica SEK 2005-09-22 1 1 9,36 9,36 9,36 9,36 928341 Robur Fonder AB Robur Medica SEK 2005-09-23 1 1 9,48 9,48 9,48 9,48 928341 Robur Fonder AB Robur Medica SEK 2005-09-26 1 1 9,54 9,54 9,54 9,54 928341 Robur Fonder AB Robur Medica SEK 2005-09-27 1 1 9,51 9,51 9,51 9,51 928341 Robur Fonder AB Robur Medica SEK 2005-09-28 1 1 9,49 9,49 9,49 9,49 928341 Robur Fonder AB Robur Medica SEK 2005-09-29 1 1 9,42 9,42 9,42 9,42 928341 Robur Fonder AB Robur Medica SEK 2005-09-30 1 1 9,44 9,44 9,44 9,44 928341 Robur Fonder AB Robur Medica SEK 2005-10-03 1 1 9,54 9,54 9,54 9,54 928341 Robur Fonder AB Robur Medica SEK 2005-10-04 1 1 9,61 9,61 9,61 9,61 928341 Robur Fonder AB Robur Medica SEK 2005-10-05 1 1 9,54 9,54 9,54 9,54 928341 Robur Fonder AB Robur Medica SEK 2005-10-06 1 1 9,34 9,34 9,34 9,34 928341 Robur Fonder AB Robur Medica SEK 2005-10-07 1 1 9,35 9,35 9,35 9,35 928341 Robur Fonder AB Robur Medica SEK 2005-10-10 1 1 9,33 9,33 9,33 9,33 928341 Robur Fonder AB Robur Medica SEK 2005-10-11 1 1 9,38 9,38 9,38 9,38 928341 Robur Fonder AB Robur Medica SEK 2005-10-12 1 1 9,32 9,32 9,32 9,32 928341 Robur Fonder AB Robur Medica SEK 2005-10-13 1 1 9,38 9,38 9,38 9,38 928341 Robur Fonder AB Robur Medica SEK 2005-10-14 1 1 9,44 9,44 9,44 9,44 928341 Robur Fonder AB Robur Medica SEK 2005-10-17 1 1 9,46 9,46 9,46 9,46 928341 Robur Fonder AB Robur Medica SEK 2005-10-18 1 1 9,53 9,53 9,53 9,53 928341 Robur Fonder AB Robur Medica SEK 2005-10-19 1 1 9,51 9,51 9,51 9,51 928341 Robur Fonder AB Robur Medica SEK 2005-10-20 1 1 9,5 9,5 9,5 9,5 928341 Robur Fonder AB Robur Medica SEK 2005-10-21 1 1 9,42 9,42 9,42 9,42 928341 Robur Fonder AB Robur Medica SEK 2005-10-24 1 1 9,54 9,54 9,54 9,54 928341 Robur Fonder AB Robur Medica SEK 2005-10-25 1 1 9,45 9,45 9,45 9,45 928341 Robur Fonder AB Robur Medica SEK 2005-10-26 1 1 9,4 9,4 9,4 9,4 928341 Robur Fonder AB Robur Medica SEK 2005-10-27 1 1 9,29 9,29 9,29 9,29 928341 Robur Fonder AB Robur Medica SEK 2005-10-28 1 1 9,32 9,32 9,32 9,32 928341 Robur Fonder AB Robur Medica SEK 2005-10-31 1 1 9,53 9,53 9,53 9,53 928341 Robur Fonder AB Robur Medica SEK 2005-11-01 1 1 9,56 9,56 9,56 9,56 928341 Robur Fonder AB Robur Medica SEK 2005-11-02 1 1 9,57 9,57 9,57 9,57 928341 Robur Fonder AB Robur Medica SEK 2005-11-03 1 1 9,64 9,64 9,64 9,64 928341 Robur Fonder AB Robur Medica SEK 2005-11-04 1 1 9,71 9,71 9,71 9,71 928341 Robur Fonder AB Robur Medica SEK 2005-11-07 1 1 9,83 9,83 9,83 9,83 928341 Robur Fonder AB Robur Medica SEK 2005-11-08 1 1 9,81 9,81 9,81 9,81 928341 Robur Fonder AB Robur Medica SEK 2005-11-09 1 1 9,82 9,82 9,82 9,82 928341 Robur Fonder AB Robur Medica SEK 2005-11-10 1 1 9,9 9,9 9,9 9,9 928341 Robur Fonder AB Robur Medica SEK 2005-11-11 1 1 9,95 9,95 9,95 9,95 928341 Robur Fonder AB Robur Medica SEK 2005-11-14 1 1 9,92 9,92 9,92 9,92 928341 Robur Fonder AB Robur Medica SEK 2005-11-15 1 1 10,01 10,01 10,01 10,01 928341 Robur Fonder AB Robur Medica SEK 2005-11-16 1 1 9,99 9,99 9,99 9,99 928341 Robur Fonder AB Robur Medica SEK 2005-11-17 1 1 10 10 10 10 928341 Robur Fonder AB Robur Medica SEK 2005-11-18 1 1 9,98 9,98 9,98 9,98 928341 Robur Fonder AB Robur Medica SEK 2005-11-21 1 1 9,87 9,87 9,87 9,87 928341 Robur Fonder AB Robur Medica SEK 2005-11-22 1 1 9,96 9,96 9,96 9,96 928341 Robur Fonder AB Robur Medica SEK 2005-11-23 1 1 9,86 9,86 9,86 9,86 928341 Robur Fonder AB Robur Medica SEK 2005-11-25 1 1 9,85 9,85 9,85 9,85 928341 Robur Fonder AB Robur Medica SEK 2005-11-28 1 1 9,83 9,83 9,83 9,83 928341 Robur Fonder AB Robur Medica SEK 2005-11-29 1 1 9,81 9,81 9,81 9,81 928341 Robur Fonder AB Robur Medica SEK 2005-11-30 1 1 9,81 9,81 9,81 9,81 928341 Robur Fonder AB Robur Medica SEK 2005-12-01 1 1 9,88 9,88 9,88 9,88 928341 Robur Fonder AB Robur Medica SEK 2005-12-02 1 1 9,9 9,9 9,9 9,9 928341 Robur Fonder AB Robur Medica SEK 2005-12-05 1 1 9,85 9,85 9,85 9,85 928341 Robur Fonder AB Robur Medica SEK 2005-12-06 1 1 9,81 9,81 9,81 9,81 928341 Robur Fonder AB Robur Medica SEK 2005-12-07 1 1 9,83 9,83 9,83 9,83 928341 Robur Fonder AB Robur Medica SEK 2005-12-08 1 1 9,8 9,8 9,8 9,8 928341 Robur Fonder AB Robur Medica SEK 2005-12-12 1 1 9,62 9,62 9,62 9,62 928341 Robur Fonder AB Robur Medica SEK 2005-12-13 1 1 9,66 9,66 9,66 9,66 928341 Robur Fonder AB Robur Medica SEK 2005-12-14 1 1 9,65 9,65 9,65 9,65 928341 Robur Fonder AB Robur Medica SEK 2005-12-15 1 1 9,66 9,66 9,66 9,66 928341 Robur Fonder AB Robur Medica SEK 2005-12-16 1 1 9,74 9,74 9,74 9,74 928341 Robur Fonder AB Robur Medica SEK 2005-12-19 1 1 9,77 9,77 9,77 9,77 928341 Robur Fonder AB Robur Medica SEK 2005-12-20 1 1 9,77 9,77 9,77 9,77 928341 Robur Fonder AB Robur Medica SEK 2005-12-21 1 1 9,89 9,89 9,89 9,89 928341 Robur Fonder AB Robur Medica SEK 2005-12-22 1 1 9,88 9,88 9,88 9,88 928341 Robur Fonder AB Robur Medica SEK 2005-12-23 1 1 9,91 9,91 9,91 9,91 928341 Robur Fonder AB Robur Medica SEK 2005-12-27 1 1 9,95 9,95 9,95 9,95 928341 Robur Fonder AB Robur Medica SEK 2005-12-28 1 1 9,8 9,8 9,8 9,8 928341 Robur Fonder AB Robur Medica SEK 2005-12-29 1 1 9,88 9,88 9,88 9,88 928341 Robur Fonder AB Robur Medica SEK 2005-12-30 1 1 9,79 9,79 9,79 9,79 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-03 1 1 142,8 142,8 142,8 142,8 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-04 1 1 143,2 143,2 143,2 143,2 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-05 1 1 142,42 142,42 142,42 142,42 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-07 1 1 142,85 142,85 142,85 142,85 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-10 1 1 143,66 143,66 143,66 143,66 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-11 1 1 143,18 143,18 143,18 143,18 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-12 1 1 142,31 142,31 142,31 142,31 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-13 1 1 142,16 142,16 142,16 142,16 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-14 1 1 142,52 142,52 142,52 142,52 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-17 1 1 143,09 143,09 143,09 143,09 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-18 1 1 142,5 142,5 142,5 142,5 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-19 1 1 143,18 143,18 143,18 143,18 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-20 1 1 142,33 142,33 142,33 142,33 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-21 1 1 142,29 142,29 142,29 142,29 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-24 1 1 141,59 141,59 141,59 141,59 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-25 1 1 142,32 142,32 142,32 142,32 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-26 1 1 142,46 142,46 142,46 142,46 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-27 1 1 142,68 142,68 142,68 142,68 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-28 1 1 142,51 142,51 142,51 142,51 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-01-31 1 1 143,03 143,03 143,03 143,03 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-01 1 1 143,29 143,29 143,29 143,29 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-02 1 1 143,81 143,81 143,81 143,81 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-03 1 1 143,77 143,77 143,77 143,77 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-04 1 1 144,22 144,22 144,22 144,22 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-07 1 1 145,09 145,09 145,09 145,09 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-08 1 1 145,23 145,23 145,23 145,23 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-09 1 1 145,6 145,6 145,6 145,6 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-10 1 1 145 145 145 145 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-11 1 1 145,48 145,48 145,48 145,48 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-14 1 1 145,65 145,65 145,65 145,65 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-15 1 1 146,13 146,13 146,13 146,13 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-16 1 1 145,42 145,42 145,42 145,42 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-17 1 1 146 146 146 146 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-18 1 1 145,2 145,2 145,2 145,2 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-21 1 1 145,38 145,38 145,38 145,38 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-22 1 1 144,8 144,8 144,8 144,8 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-23 1 1 145,09 145,09 145,09 145,09 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-24 1 1 145,31 145,31 145,31 145,31 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-25 1 1 145,78 145,78 145,78 145,78 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-02-28 1 1 146,16 146,16 146,16 146,16 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-01 1 1 146,17 146,17 146,17 146,17 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-02 1 1 146,2 146,2 146,2 146,2 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-03 1 1 146,89 146,89 146,89 146,89 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-04 1 1 147,33 147,33 147,33 147,33 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-07 1 1 147,3 147,3 147,3 147,3 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-08 1 1 147,05 147,05 147,05 147,05 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-09 1 1 146,78 146,78 146,78 146,78 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-10 1 1 146,23 146,23 146,23 146,23 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-11 1 1 146,28 146,28 146,28 146,28 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-14 1 1 146,32 146,32 146,32 146,32 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-15 1 1 147,08 147,08 147,08 147,08 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-16 1 1 146,23 146,23 146,23 146,23 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-17 1 1 146,03 146,03 146,03 146,03 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-18 1 1 145,99 145,99 145,99 145,99 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-21 1 1 145,66 145,66 145,66 145,66 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-22 1 1 146,1 146,1 146,1 146,1 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-23 1 1 145,56 145,56 145,56 145,56 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-24 1 1 146,35 146,35 146,35 146,35 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-29 1 1 146,25 146,25 146,25 146,25 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-30 1 1 145,9 145,9 145,9 145,9 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-03-31 1 1 146,67 146,67 146,67 146,67 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-01 1 1 146,92 146,92 146,92 146,92 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-04 1 1 146,83 146,83 146,83 146,83 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-05 1 1 147,55 147,55 147,55 147,55 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-06 1 1 148,12 148,12 148,12 148,12 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-07 1 1 148,34 148,34 148,34 148,34 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-08 1 1 148,59 148,59 148,59 148,59 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-11 1 1 148,89 148,89 148,89 148,89 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-12 1 1 148,8 148,8 148,8 148,8 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-13 1 1 149,35 149,35 149,35 149,35 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-14 1 1 149,65 149,65 149,65 149,65 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-15 1 1 148,75 148,75 148,75 148,75 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-18 1 1 147,8 147,8 147,8 147,8 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-19 1 1 148,08 148,08 148,08 148,08 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-20 1 1 148,2 148,2 148,2 148,2 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-21 1 1 148,15 148,15 148,15 148,15 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-22 1 1 148,97 148,97 148,97 148,97 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-25 1 1 148,97 148,97 148,97 148,97 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-26 1 1 148,42 148,42 148,42 148,42 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-27 1 1 147,07 147,07 147,07 147,07 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-28 1 1 146,59 146,59 146,59 146,59 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-04-29 1 1 146,6 146,6 146,6 146,6 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-02 1 1 147,3 147,3 147,3 147,3 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-03 1 1 147,31 147,31 147,31 147,31 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-04 1 1 147,29 147,29 147,29 147,29 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-06 1 1 148,15 148,15 148,15 148,15 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-09 1 1 148,17 148,17 148,17 148,17 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-10 1 1 147,99 147,99 147,99 147,99 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-11 1 1 148,13 148,13 148,13 148,13 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-12 1 1 148,61 148,61 148,61 148,61 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-13 1 1 148,8 148,8 148,8 148,8 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-16 1 1 148,99 148,99 148,99 148,99 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-17 1 1 149,2 149,2 149,2 149,2 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-18 1 1 150,06 150,06 150,06 150,06 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-19 1 1 150,23 150,23 150,23 150,23 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-20 1 1 150,17 150,17 150,17 150,17 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-23 1 1 150,27 150,27 150,27 150,27 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-24 1 1 150,4 150,4 150,4 150,4 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-25 1 1 150,46 150,46 150,46 150,46 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-26 1 1 150,88 150,88 150,88 150,88 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-27 1 1 151,03 151,03 151,03 151,03 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-30 1 1 151,15 151,15 151,15 151,15 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-05-31 1 1 151,51 151,51 151,51 151,51 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-01 1 1 151,63 151,63 151,63 151,63 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-02 1 1 151,17 151,17 151,17 151,17 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-03 1 1 151,05 151,05 151,05 151,05 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-07 1 1 151,58 151,58 151,58 151,58 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-08 1 1 152,14 152,14 152,14 152,14 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-09 1 1 152,14 152,14 152,14 152,14 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-10 1 1 152,54 152,54 152,54 152,54 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-13 1 1 152,77 152,77 152,77 152,77 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-14 1 1 153,27 153,27 153,27 153,27 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-15 1 1 152,94 152,94 152,94 152,94 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-16 1 1 153,14 153,14 153,14 153,14 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-17 1 1 153,51 153,51 153,51 153,51 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-20 1 1 153,48 153,48 153,48 153,48 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-21 1 1 154,26 154,26 154,26 154,26 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-22 1 1 154,71 154,71 154,71 154,71 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-23 1 1 155,11 155,11 155,11 155,11 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-27 1 1 153,87 153,87 153,87 153,87 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-28 1 1 154,26 154,26 154,26 154,26 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-29 1 1 154,88 154,88 154,88 154,88 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-06-30 1 1 155,06 155,06 155,06 155,06 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-01 1 1 155,55 155,55 155,55 155,55 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-04 1 1 155,79 155,79 155,79 155,79 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-05 1 1 155,73 155,73 155,73 155,73 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-06 1 1 155,74 155,74 155,74 155,74 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-07 1 1 154,63 154,63 154,63 154,63 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-08 1 1 155,69 155,69 155,69 155,69 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-11 1 1 156,77 156,77 156,77 156,77 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-12 1 1 156,81 156,81 156,81 156,81 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-13 1 1 157,32 157,32 157,32 157,32 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-14 1 1 157,38 157,38 157,38 157,38 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-15 1 1 157,26 157,26 157,26 157,26 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-18 1 1 157,41 157,41 157,41 157,41 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-19 1 1 157,5 157,5 157,5 157,5 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-20 1 1 157,12 157,12 157,12 157,12 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-21 1 1 157,74 157,74 157,74 157,74 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-22 1 1 158,01 158,01 158,01 158,01 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-25 1 1 157,82 157,82 157,82 157,82 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-26 1 1 158,11 158,11 158,11 158,11 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-27 1 1 158,38 158,38 158,38 158,38 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-28 1 1 158,82 158,82 158,82 158,82 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-07-29 1 1 158,73 158,73 158,73 158,73 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-01 1 1 158,61 158,61 158,61 158,61 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-02 1 1 159,05 159,05 159,05 159,05 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-03 1 1 158,83 158,83 158,83 158,83 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-04 1 1 158,57 158,57 158,57 158,57 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-05 1 1 158,25 158,25 158,25 158,25 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-08 1 1 158,25 158,25 158,25 158,25 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-09 1 1 158,44 158,44 158,44 158,44 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-10 1 1 159,51 159,51 159,51 159,51 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-11 1 1 159,13 159,13 159,13 159,13 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-12 1 1 158,85 158,85 158,85 158,85 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-15 1 1 158,72 158,72 158,72 158,72 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-16 1 1 159,01 159,01 159,01 159,01 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-17 1 1 158,49 158,49 158,49 158,49 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-18 1 1 158,71 158,71 158,71 158,71 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-19 1 1 159,31 159,31 159,31 159,31 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-22 1 1 159,37 159,37 159,37 159,37 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-23 1 1 158,93 158,93 158,93 158,93 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-24 1 1 157,64 157,64 157,64 157,64 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-25 1 1 157,08 157,08 157,08 157,08 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-26 1 1 156,56 156,56 156,56 156,56 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-29 1 1 156,88 156,88 156,88 156,88 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-30 1 1 156,91 156,91 156,91 156,91 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-08-31 1 1 157,48 157,48 157,48 157,48 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-01 1 1 157,95 157,95 157,95 157,95 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-02 1 1 158,12 158,12 158,12 158,12 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-05 1 1 158,85 158,85 158,85 158,85 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-06 1 1 159,35 159,35 159,35 159,35 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-07 1 1 159,49 159,49 159,49 159,49 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-08 1 1 159,34 159,34 159,34 159,34 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-09 1 1 159,94 159,94 159,94 159,94 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-12 1 1 159,89 159,89 159,89 159,89 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-13 1 1 159,85 159,85 159,85 159,85 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-14 1 1 160,16 160,16 160,16 160,16 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-15 1 1 159,81 159,81 159,81 159,81 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-16 1 1 160,05 160,05 160,05 160,05 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-19 1 1 160,31 160,31 160,31 160,31 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-20 1 1 160,29 160,29 160,29 160,29 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-21 1 1 159,93 159,93 159,93 159,93 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-22 1 1 159,9 159,9 159,9 159,9 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-23 1 1 160 160 160 160 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-26 1 1 160,83 160,83 160,83 160,83 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-27 1 1 161,11 161,11 161,11 161,11 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-28 1 1 161,65 161,65 161,65 161,65 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-29 1 1 161,6 161,6 161,6 161,6 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-09-30 1 1 162,14 162,14 162,14 162,14 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-03 1 1 162,53 162,53 162,53 162,53 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-04 1 1 162,48 162,48 162,48 162,48 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-05 1 1 161,86 161,86 161,86 161,86 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-06 1 1 161 161 161 161 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-07 1 1 161 161 161 161 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-10 1 1 161,37 161,37 161,37 161,37 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-11 1 1 161,59 161,59 161,59 161,59 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-12 1 1 160,86 160,86 160,86 160,86 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-13 1 1 159,74 159,74 159,74 159,74 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-14 1 1 159,64 159,64 159,64 159,64 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-17 1 1 159,76 159,76 159,76 159,76 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-18 1 1 159,34 159,34 159,34 159,34 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-19 1 1 158,21 158,21 158,21 158,21 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-20 1 1 158,44 158,44 158,44 158,44 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-21 1 1 157,94 157,94 157,94 157,94 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-24 1 1 158,84 158,84 158,84 158,84 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-25 1 1 159,5 159,5 159,5 159,5 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-26 1 1 159,7 159,7 159,7 159,7 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-27 1 1 158,8 158,8 158,8 158,8 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-28 1 1 158,65 158,65 158,65 158,65 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-10-31 1 1 160,26 160,26 160,26 160,26 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-01 1 1 160,57 160,57 160,57 160,57 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-02 1 1 160,66 160,66 160,66 160,66 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-03 1 1 161,48 161,48 161,48 161,48 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-04 1 1 161,44 161,44 161,44 161,44 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-07 1 1 161,74 161,74 161,74 161,74 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-08 1 1 161,75 161,75 161,75 161,75 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-09 1 1 161,75 161,75 161,75 161,75 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-10 1 1 161,91 161,91 161,91 161,91 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-11 1 1 162,81 162,81 162,81 162,81 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-14 1 1 163,04 163,04 163,04 163,04 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-15 1 1 162,72 162,72 162,72 162,72 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-16 1 1 162,91 162,91 162,91 162,91 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-17 1 1 163,25 163,25 163,25 163,25 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-18 1 1 163,48 163,48 163,48 163,48 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-21 1 1 163,64 163,64 163,64 163,64 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-22 1 1 163,68 163,68 163,68 163,68 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-23 1 1 163,92 163,92 163,92 163,92 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-24 1 1 163,84 163,84 163,84 163,84 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-25 1 1 164,02 164,02 164,02 164,02 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-28 1 1 164,04 164,04 164,04 164,04 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-29 1 1 164,12 164,12 164,12 164,12 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-11-30 1 1 163,62 163,62 163,62 163,62 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-01 1 1 164,51 164,51 164,51 164,51 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-02 1 1 165,29 165,29 165,29 165,29 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-05 1 1 164,85 164,85 164,85 164,85 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-06 1 1 165,43 165,43 165,43 165,43 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-07 1 1 165,52 165,52 165,52 165,52 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-08 1 1 165,52 165,52 165,52 165,52 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-12 1 1 160,45 160,45 160,45 160,45 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-13 1 1 160,39 160,39 160,39 160,39 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-14 1 1 160,27 160,27 160,27 160,27 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-15 1 1 160,14 160,14 160,14 160,14 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-16 1 1 160,6 160,6 160,6 160,6 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-19 1 1 160,89 160,89 160,89 160,89 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-20 1 1 160,71 160,71 160,71 160,71 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-21 1 1 161,32 161,32 161,32 161,32 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-22 1 1 161,54 161,54 161,54 161,54 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-23 1 1 162,2 162,2 162,2 162,2 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-27 1 1 162,81 162,81 162,81 162,81 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-28 1 1 162,66 162,66 162,66 162,66 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-29 1 1 162,97 162,97 162,97 162,97 573055 Robur Fonder AB Robur Mix Indexfond Sverige SEK 2005-12-30 1 1 162,7 162,7 162,7 162,7 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-03 1 1 11,02 11,02 11,02 11,02 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-04 1 1 11,09 11,09 11,09 11,09 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-05 1 1 11,03 11,03 11,03 11,03 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-07 1 1 11,09 11,09 11,09 11,09 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-10 1 1 11,14 11,14 11,14 11,14 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-11 1 1 11,08 11,08 11,08 11,08 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-12 1 1 11,03 11,03 11,03 11,03 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-13 1 1 11,05 11,05 11,05 11,05 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-14 1 1 11,09 11,09 11,09 11,09 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-17 1 1 11,14 11,14 11,14 11,14 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-18 1 1 11,1 11,1 11,1 11,1 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-19 1 1 11,15 11,15 11,15 11,15 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-20 1 1 11,09 11,09 11,09 11,09 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-21 1 1 11,09 11,09 11,09 11,09 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-24 1 1 11,05 11,05 11,05 11,05 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-25 1 1 11,12 11,12 11,12 11,12 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-26 1 1 11,12 11,12 11,12 11,12 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-27 1 1 11,13 11,13 11,13 11,13 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-28 1 1 11,14 11,14 11,14 11,14 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-01-31 1 1 11,18 11,18 11,18 11,18 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-01 1 1 11,19 11,19 11,19 11,19 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-02 1 1 11,22 11,22 11,22 11,22 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-03 1 1 11,23 11,23 11,23 11,23 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-04 1 1 11,28 11,28 11,28 11,28 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-07 1 1 11,38 11,38 11,38 11,38 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-08 1 1 11,4 11,4 11,4 11,4 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-09 1 1 11,4 11,4 11,4 11,4 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-10 1 1 11,36 11,36 11,36 11,36 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-11 1 1 11,38 11,38 11,38 11,38 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-14 1 1 11,38 11,38 11,38 11,38 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-15 1 1 11,4 11,4 11,4 11,4 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-16 1 1 11,36 11,36 11,36 11,36 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-17 1 1 11,38 11,38 11,38 11,38 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-18 1 1 11,33 11,33 11,33 11,33 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-21 1 1 11,35 11,35 11,35 11,35 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-22 1 1 11,28 11,28 11,28 11,28 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-23 1 1 11,27 11,27 11,27 11,27 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-24 1 1 11,27 11,27 11,27 11,27 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-25 1 1 11,32 11,32 11,32 11,32 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-02-28 1 1 11,31 11,31 11,31 11,31 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-01 1 1 11,32 11,32 11,32 11,32 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-02 1 1 11,34 11,34 11,34 11,34 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-03 1 1 11,36 11,36 11,36 11,36 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-04 1 1 11,37 11,37 11,37 11,37 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-07 1 1 11,37 11,37 11,37 11,37 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-08 1 1 11,33 11,33 11,33 11,33 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-09 1 1 11,3 11,3 11,3 11,3 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-10 1 1 11,25 11,25 11,25 11,25 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-11 1 1 11,25 11,25 11,25 11,25 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-14 1 1 11,25 11,25 11,25 11,25 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-15 1 1 11,3 11,3 11,3 11,3 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-16 1 1 11,23 11,23 11,23 11,23 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-17 1 1 11,23 11,23 11,23 11,23 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-18 1 1 11,28 11,28 11,28 11,28 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-21 1 1 11,28 11,28 11,28 11,28 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-22 1 1 11,29 11,29 11,29 11,29 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-23 1 1 11,28 11,28 11,28 11,28 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-24 1 1 11,31 11,31 11,31 11,31 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-29 1 1 11,33 11,33 11,33 11,33 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-30 1 1 11,3 11,3 11,3 11,3 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-03-31 1 1 11,37 11,37 11,37 11,37 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-01 1 1 11,41 11,41 11,41 11,41 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-04 1 1 11,42 11,42 11,42 11,42 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-05 1 1 11,47 11,47 11,47 11,47 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-06 1 1 11,51 11,51 11,51 11,51 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-07 1 1 11,5 11,5 11,5 11,5 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-08 1 1 11,55 11,55 11,55 11,55 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-11 1 1 11,51 11,51 11,51 11,51 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-12 1 1 11,5 11,5 11,5 11,5 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-13 1 1 11,55 11,55 11,55 11,55 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-14 1 1 11,58 11,58 11,58 11,58 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-15 1 1 11,49 11,49 11,49 11,49 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-18 1 1 11,38 11,38 11,38 11,38 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-19 1 1 11,43 11,43 11,43 11,43 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-20 1 1 11,41 11,41 11,41 11,41 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-21 1 1 11,39 11,39 11,39 11,39 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-22 1 1 11,45 11,45 11,45 11,45 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-25 1 1 11,47 11,47 11,47 11,47 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-26 1 1 11,44 11,44 11,44 11,44 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-27 1 1 11,37 11,37 11,37 11,37 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-28 1 1 11,39 11,39 11,39 11,39 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-04-29 1 1 11,4 11,4 11,4 11,4 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-02 1 1 11,49 11,49 11,49 11,49 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-03 1 1 11,5 11,5 11,5 11,5 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-04 1 1 11,48 11,48 11,48 11,48 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-06 1 1 11,59 11,59 11,59 11,59 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-09 1 1 11,59 11,59 11,59 11,59 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-10 1 1 11,58 11,58 11,58 11,58 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-11 1 1 11,59 11,59 11,59 11,59 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-12 1 1 11,63 11,63 11,63 11,63 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-13 1 1 11,64 11,64 11,64 11,64 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-16 1 1 11,65 11,65 11,65 11,65 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-17 1 1 11,66 11,66 11,66 11,66 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-18 1 1 11,73 11,73 11,73 11,73 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-19 1 1 11,78 11,78 11,78 11,78 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-20 1 1 11,78 11,78 11,78 11,78 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-23 1 1 11,79 11,79 11,79 11,79 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-24 1 1 11,81 11,81 11,81 11,81 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-25 1 1 11,78 11,78 11,78 11,78 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-26 1 1 11,85 11,85 11,85 11,85 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-27 1 1 11,86 11,86 11,86 11,86 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-30 1 1 11,9 11,9 11,9 11,9 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-05-31 1 1 11,93 11,93 11,93 11,93 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-01 1 1 11,99 11,99 11,99 11,99 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-02 1 1 11,97 11,97 11,97 11,97 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-03 1 1 11,99 11,99 11,99 11,99 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-07 1 1 12,03 12,03 12,03 12,03 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-08 1 1 12,04 12,04 12,04 12,04 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-09 1 1 12,06 12,06 12,06 12,06 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-10 1 1 12,13 12,13 12,13 12,13 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-13 1 1 12,19 12,19 12,19 12,19 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-14 1 1 12,22 12,22 12,22 12,22 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-15 1 1 12,21 12,21 12,21 12,21 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-16 1 1 12,25 12,25 12,25 12,25 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-17 1 1 12,25 12,25 12,25 12,25 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-20 1 1 12,25 12,25 12,25 12,25 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-21 1 1 12,31 12,31 12,31 12,31 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-22 1 1 12,37 12,37 12,37 12,37 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-23 1 1 12,45 12,45 12,45 12,45 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-27 1 1 12,27 12,27 12,27 12,27 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-28 1 1 12,35 12,35 12,35 12,35 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-29 1 1 12,42 12,42 12,42 12,42 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-06-30 1 1 12,41 12,41 12,41 12,41 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-01 1 1 12,46 12,46 12,46 12,46 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-04 1 1 12,49 12,49 12,49 12,49 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-05 1 1 12,45 12,45 12,45 12,45 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-06 1 1 12,45 12,45 12,45 12,45 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-07 1 1 12,36 12,36 12,36 12,36 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-08 1 1 12,45 12,45 12,45 12,45 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-11 1 1 12,54 12,54 12,54 12,54 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-12 1 1 12,49 12,49 12,49 12,49 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-13 1 1 12,51 12,51 12,51 12,51 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-14 1 1 12,56 12,56 12,56 12,56 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-15 1 1 12,55 12,55 12,55 12,55 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-18 1 1 12,55 12,55 12,55 12,55 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-19 1 1 12,59 12,59 12,59 12,59 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-20 1 1 12,58 12,58 12,58 12,58 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-21 1 1 12,59 12,59 12,59 12,59 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-22 1 1 12,62 12,62 12,62 12,62 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-25 1 1 12,64 12,64 12,64 12,64 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-26 1 1 12,66 12,66 12,66 12,66 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-27 1 1 12,68 12,68 12,68 12,68 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-28 1 1 12,7 12,7 12,7 12,7 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-07-29 1 1 12,7 12,7 12,7 12,7 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-01 1 1 12,65 12,65 12,65 12,65 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-02 1 1 12,7 12,7 12,7 12,7 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-03 1 1 12,69 12,69 12,69 12,69 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-04 1 1 12,62 12,62 12,62 12,62 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-05 1 1 12,57 12,57 12,57 12,57 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-08 1 1 12,56 12,56 12,56 12,56 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-09 1 1 12,6 12,6 12,6 12,6 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-10 1 1 12,66 12,66 12,66 12,66 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-11 1 1 12,63 12,63 12,63 12,63 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-12 1 1 12,62 12,62 12,62 12,62 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-15 1 1 12,62 12,62 12,62 12,62 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-16 1 1 12,67 12,67 12,67 12,67 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-17 1 1 12,64 12,64 12,64 12,64 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-18 1 1 12,66 12,66 12,66 12,66 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-19 1 1 12,72 12,72 12,72 12,72 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-22 1 1 12,74 12,74 12,74 12,74 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-23 1 1 12,71 12,71 12,71 12,71 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-24 1 1 12,62 12,62 12,62 12,62 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-25 1 1 12,59 12,59 12,59 12,59 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-26 1 1 12,54 12,54 12,54 12,54 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-29 1 1 12,55 12,55 12,55 12,55 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-30 1 1 12,6 12,6 12,6 12,6 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-08-31 1 1 12,62 12,62 12,62 12,62 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-01 1 1 12,63 12,63 12,63 12,63 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-02 1 1 12,58 12,58 12,58 12,58 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-05 1 1 12,62 12,62 12,62 12,62 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-06 1 1 12,67 12,67 12,67 12,67 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-07 1 1 12,7 12,7 12,7 12,7 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-08 1 1 12,71 12,71 12,71 12,71 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-09 1 1 12,76 12,76 12,76 12,76 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-12 1 1 12,79 12,79 12,79 12,79 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-13 1 1 12,8 12,8 12,8 12,8 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-14 1 1 12,81 12,81 12,81 12,81 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-15 1 1 12,83 12,83 12,83 12,83 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-16 1 1 12,84 12,84 12,84 12,84 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-19 1 1 12,88 12,88 12,88 12,88 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-20 1 1 12,9 12,9 12,9 12,9 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-21 1 1 12,86 12,86 12,86 12,86 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-22 1 1 12,86 12,86 12,86 12,86 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-23 1 1 12,91 12,91 12,91 12,91 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-26 1 1 12,98 12,98 12,98 12,98 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-27 1 1 12,99 12,99 12,99 12,99 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-28 1 1 13,02 13,02 13,02 13,02 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-29 1 1 13 13 13 13 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-09-30 1 1 13 13 13 13 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-03 1 1 13,06 13,06 13,06 13,06 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-04 1 1 13,06 13,06 13,06 13,06 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-05 1 1 13,01 13,01 13,01 13,01 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-06 1 1 12,84 12,84 12,84 12,84 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-07 1 1 12,86 12,86 12,86 12,86 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-10 1 1 12,91 12,91 12,91 12,91 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-11 1 1 12,95 12,95 12,95 12,95 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-12 1 1 12,88 12,88 12,88 12,88 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-13 1 1 12,86 12,86 12,86 12,86 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-14 1 1 12,86 12,86 12,86 12,86 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-17 1 1 12,87 12,87 12,87 12,87 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-18 1 1 12,88 12,88 12,88 12,88 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-19 1 1 12,79 12,79 12,79 12,79 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-20 1 1 12,82 12,82 12,82 12,82 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-21 1 1 12,78 12,78 12,78 12,78 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-24 1 1 12,89 12,89 12,89 12,89 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-25 1 1 12,86 12,86 12,86 12,86 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-26 1 1 12,85 12,85 12,85 12,85 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-27 1 1 12,78 12,78 12,78 12,78 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-28 1 1 12,78 12,78 12,78 12,78 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-10-31 1 1 12,95 12,95 12,95 12,95 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-01 1 1 13,02 13,02 13,02 13,02 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-02 1 1 13,04 13,04 13,04 13,04 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-03 1 1 13,14 13,14 13,14 13,14 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-04 1 1 13,15 13,15 13,15 13,15 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-07 1 1 13,22 13,22 13,22 13,22 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-08 1 1 13,18 13,18 13,18 13,18 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-09 1 1 13,22 13,22 13,22 13,22 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-10 1 1 13,25 13,25 13,25 13,25 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-11 1 1 13,29 13,29 13,29 13,29 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-14 1 1 13,3 13,3 13,3 13,3 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-15 1 1 13,32 13,32 13,32 13,32 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-16 1 1 13,34 13,34 13,34 13,34 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-17 1 1 13,39 13,39 13,39 13,39 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-18 1 1 13,37 13,37 13,37 13,37 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-21 1 1 13,35 13,35 13,35 13,35 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-22 1 1 13,39 13,39 13,39 13,39 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-23 1 1 13,35 13,35 13,35 13,35 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-24 1 1 13,36 13,36 13,36 13,36 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-25 1 1 13,35 13,35 13,35 13,35 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-28 1 1 13,38 13,38 13,38 13,38 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-29 1 1 13,37 13,37 13,37 13,37 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-11-30 1 1 13,36 13,36 13,36 13,36 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-01 1 1 13,42 13,42 13,42 13,42 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-02 1 1 13,45 13,45 13,45 13,45 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-05 1 1 13,4 13,4 13,4 13,4 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-06 1 1 13,39 13,39 13,39 13,39 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-07 1 1 13,43 13,43 13,43 13,43 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-08 1 1 13,41 13,41 13,41 13,41 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-12 1 1 13,1 13,1 13,1 13,1 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-13 1 1 13,11 13,11 13,11 13,11 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-14 1 1 13,1 13,1 13,1 13,1 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-15 1 1 13,08 13,08 13,08 13,08 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-16 1 1 13,13 13,13 13,13 13,13 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-19 1 1 13,13 13,13 13,13 13,13 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-20 1 1 13,12 13,12 13,12 13,12 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-21 1 1 13,21 13,21 13,21 13,21 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-22 1 1 13,23 13,23 13,23 13,23 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-23 1 1 13,26 13,26 13,26 13,26 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-27 1 1 13,31 13,31 13,31 13,31 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-28 1 1 13,23 13,23 13,23 13,23 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-29 1 1 13,28 13,28 13,28 13,28 749192 Robur Fonder AB Robur Mixfond Pension SEK 2005-12-30 1 1 13,25 13,25 13,25 13,25 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-03 1 1 44,87 44,87 44,87 44,87 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-04 1 1 44,95 44,95 44,95 44,95 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-05 1 1 44,54 44,54 44,54 44,54 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-07 1 1 44,85 44,85 44,85 44,85 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-10 1 1 45,19 45,19 45,19 45,19 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-11 1 1 44,83 44,83 44,83 44,83 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-12 1 1 44,5 44,5 44,5 44,5 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-13 1 1 44,53 44,53 44,53 44,53 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-14 1 1 44,71 44,71 44,71 44,71 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-17 1 1 45,11 45,11 45,11 45,11 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-18 1 1 44,88 44,88 44,88 44,88 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-19 1 1 45,05 45,05 45,05 45,05 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-20 1 1 44,44 44,44 44,44 44,44 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-21 1 1 44,47 44,47 44,47 44,47 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-24 1 1 44,16 44,16 44,16 44,16 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-25 1 1 44,59 44,59 44,59 44,59 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-26 1 1 44,75 44,75 44,75 44,75 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-27 1 1 45,06 45,06 45,06 45,06 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-28 1 1 45,03 45,03 45,03 45,03 820852 Robur Fonder AB Robur Nordenfond SEK 2005-01-31 1 1 45,26 45,26 45,26 45,26 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-01 1 1 45,54 45,54 45,54 45,54 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-02 1 1 45,9 45,9 45,9 45,9 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-03 1 1 46,03 46,03 46,03 46,03 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-04 1 1 46,25 46,25 46,25 46,25 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-07 1 1 46,73 46,73 46,73 46,73 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-08 1 1 46,79 46,79 46,79 46,79 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-09 1 1 46,89 46,89 46,89 46,89 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-10 1 1 46,66 46,66 46,66 46,66 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-11 1 1 46,93 46,93 46,93 46,93 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-14 1 1 47,03 47,03 47,03 47,03 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-15 1 1 47,33 47,33 47,33 47,33 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-16 1 1 47,03 47,03 47,03 47,03 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-17 1 1 47,4 47,4 47,4 47,4 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-18 1 1 47,24 47,24 47,24 47,24 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-21 1 1 47,4 47,4 47,4 47,4 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-22 1 1 47,25 47,25 47,25 47,25 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-23 1 1 47,23 47,23 47,23 47,23 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-24 1 1 47,39 47,39 47,39 47,39 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-25 1 1 47,78 47,78 47,78 47,78 820852 Robur Fonder AB Robur Nordenfond SEK 2005-02-28 1 1 47,94 47,94 47,94 47,94 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-01 1 1 48,04 48,04 48,04 48,04 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-02 1 1 48,11 48,11 48,11 48,11 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-03 1 1 48,43 48,43 48,43 48,43 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-04 1 1 48,76 48,76 48,76 48,76 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-07 1 1 48,86 48,86 48,86 48,86 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-08 1 1 48,62 48,62 48,62 48,62 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-09 1 1 48,56 48,56 48,56 48,56 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-10 1 1 48,21 48,21 48,21 48,21 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-11 1 1 48,37 48,37 48,37 48,37 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-14 1 1 48,34 48,34 48,34 48,34 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-15 1 1 48,69 48,69 48,69 48,69 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-16 1 1 48,28 48,28 48,28 48,28 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-17 1 1 48,48 48,48 48,48 48,48 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-18 1 1 48,54 48,54 48,54 48,54 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-21 1 1 48,5 48,5 48,5 48,5 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-22 1 1 48,43 48,43 48,43 48,43 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-23 1 1 48 48 48 48 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-24 1 1 48,14 48,14 48,14 48,14 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-29 1 1 48,25 48,25 48,25 48,25 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-30 1 1 48,03 48,03 48,03 48,03 820852 Robur Fonder AB Robur Nordenfond SEK 2005-03-31 1 1 48,45 48,45 48,45 48,45 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-01 1 1 48,65 48,65 48,65 48,65 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-04 1 1 48,68 48,68 48,68 48,68 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-05 1 1 49,11 49,11 49,11 49,11 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-06 1 1 49,33 49,33 49,33 49,33 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-07 1 1 49,65 49,65 49,65 49,65 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-08 1 1 49,93 49,93 49,93 49,93 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-11 1 1 49,77 49,77 49,77 49,77 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-12 1 1 49,82 49,82 49,82 49,82 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-13 1 1 50,01 50,01 50,01 50,01 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-14 1 1 49,99 49,99 49,99 49,99 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-15 1 1 49,2 49,2 49,2 49,2 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-18 1 1 48,42 48,42 48,42 48,42 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-19 1 1 48,78 48,78 48,78 48,78 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-20 1 1 48,95 48,95 48,95 48,95 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-21 1 1 49,15 49,15 49,15 49,15 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-22 1 1 49,49 49,49 49,49 49,49 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-25 1 1 49,57 49,57 49,57 49,57 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-26 1 1 49,27 49,27 49,27 49,27 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-27 1 1 48,29 48,29 48,29 48,29 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-28 1 1 47,83 47,83 47,83 47,83 820852 Robur Fonder AB Robur Nordenfond SEK 2005-04-29 1 1 47,86 47,86 47,86 47,86 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-02 1 1 48,29 48,29 48,29 48,29 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-03 1 1 48,4 48,4 48,4 48,4 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-04 1 1 48,37 48,37 48,37 48,37 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-06 1 1 49,15 49,15 49,15 49,15 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-09 1 1 49,23 49,23 49,23 49,23 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-10 1 1 49,3 49,3 49,3 49,3 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-11 1 1 49,43 49,43 49,43 49,43 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-12 1 1 49,61 49,61 49,61 49,61 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-13 1 1 49,41 49,41 49,41 49,41 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-16 1 1 49,59 49,59 49,59 49,59 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-17 1 1 49,56 49,56 49,56 49,56 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-18 1 1 50,09 50,09 50,09 50,09 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-19 1 1 50,21 50,21 50,21 50,21 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-20 1 1 50,23 50,23 50,23 50,23 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-23 1 1 50,32 50,32 50,32 50,32 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-24 1 1 50,5 50,5 50,5 50,5 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-25 1 1 50,54 50,54 50,54 50,54 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-26 1 1 51,03 51,03 51,03 51,03 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-27 1 1 51,18 51,18 51,18 51,18 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-30 1 1 51,28 51,28 51,28 51,28 820852 Robur Fonder AB Robur Nordenfond SEK 2005-05-31 1 1 51,31 51,31 51,31 51,31 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-01 1 1 51,59 51,59 51,59 51,59 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-02 1 1 51,62 51,62 51,62 51,62 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-03 1 1 51,48 51,48 51,48 51,48 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-07 1 1 51,82 51,82 51,82 51,82 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-08 1 1 52,18 52,18 52,18 52,18 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-09 1 1 52,24 52,24 52,24 52,24 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-10 1 1 52,83 52,83 52,83 52,83 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-13 1 1 53,15 53,15 53,15 53,15 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-14 1 1 53,44 53,44 53,44 53,44 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-15 1 1 53,31 53,31 53,31 53,31 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-16 1 1 53,55 53,55 53,55 53,55 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-17 1 1 53,72 53,72 53,72 53,72 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-20 1 1 53,79 53,79 53,79 53,79 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-21 1 1 54,11 54,11 54,11 54,11 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-22 1 1 54,47 54,47 54,47 54,47 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-23 1 1 54,9 54,9 54,9 54,9 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-27 1 1 54,15 54,15 54,15 54,15 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-28 1 1 54,67 54,67 54,67 54,67 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-29 1 1 55,26 55,26 55,26 55,26 820852 Robur Fonder AB Robur Nordenfond SEK 2005-06-30 1 1 55,34 55,34 55,34 55,34 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-01 1 1 55,75 55,75 55,75 55,75 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-04 1 1 56,06 56,06 56,06 56,06 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-05 1 1 55,95 55,95 55,95 55,95 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-06 1 1 56,12 56,12 56,12 56,12 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-07 1 1 55,38 55,38 55,38 55,38 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-08 1 1 56,5 56,5 56,5 56,5 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-11 1 1 56,99 56,99 56,99 56,99 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-12 1 1 56,75 56,75 56,75 56,75 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-13 1 1 56,87 56,87 56,87 56,87 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-14 1 1 56,96 56,96 56,96 56,96 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-15 1 1 56,66 56,66 56,66 56,66 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-18 1 1 56,69 56,69 56,69 56,69 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-19 1 1 56,83 56,83 56,83 56,83 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-20 1 1 56,63 56,63 56,63 56,63 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-21 1 1 56,38 56,38 56,38 56,38 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-22 1 1 56,55 56,55 56,55 56,55 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-25 1 1 56,58 56,58 56,58 56,58 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-26 1 1 56,89 56,89 56,89 56,89 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-27 1 1 57,09 57,09 57,09 57,09 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-28 1 1 57,29 57,29 57,29 57,29 820852 Robur Fonder AB Robur Nordenfond SEK 2005-07-29 1 1 57,53 57,53 57,53 57,53 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-01 1 1 57,63 57,63 57,63 57,63 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-02 1 1 57,88 57,88 57,88 57,88 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-03 1 1 58,06 58,06 58,06 58,06 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-04 1 1 57,57 57,57 57,57 57,57 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-05 1 1 57,45 57,45 57,45 57,45 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-08 1 1 57,75 57,75 57,75 57,75 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-09 1 1 58,21 58,21 58,21 58,21 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-10 1 1 58,48 58,48 58,48 58,48 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-11 1 1 58,27 58,27 58,27 58,27 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-12 1 1 58,2 58,2 58,2 58,2 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-15 1 1 58,02 58,02 58,02 58,02 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-16 1 1 57,98 57,98 57,98 57,98 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-17 1 1 57,7 57,7 57,7 57,7 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-18 1 1 57,79 57,79 57,79 57,79 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-19 1 1 58,41 58,41 58,41 58,41 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-22 1 1 58,59 58,59 58,59 58,59 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-23 1 1 58,34 58,34 58,34 58,34 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-24 1 1 57,64 57,64 57,64 57,64 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-25 1 1 57,39 57,39 57,39 57,39 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-26 1 1 57,05 57,05 57,05 57,05 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-29 1 1 57,3 57,3 57,3 57,3 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-30 1 1 57,62 57,62 57,62 57,62 820852 Robur Fonder AB Robur Nordenfond SEK 2005-08-31 1 1 58,03 58,03 58,03 58,03 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-01 1 1 58,64 58,64 58,64 58,64 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-02 1 1 58,47 58,47 58,47 58,47 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-05 1 1 58,7 58,7 58,7 58,7 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-06 1 1 59,15 59,15 59,15 59,15 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-07 1 1 59,18 59,18 59,18 59,18 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-08 1 1 59,02 59,02 59,02 59,02 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-09 1 1 59,49 59,49 59,49 59,49 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-12 1 1 59,6 59,6 59,6 59,6 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-13 1 1 59,79 59,79 59,79 59,79 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-14 1 1 59,96 59,96 59,96 59,96 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-15 1 1 60,07 60,07 60,07 60,07 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-16 1 1 60,25 60,25 60,25 60,25 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-19 1 1 60,56 60,56 60,56 60,56 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-20 1 1 60,57 60,57 60,57 60,57 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-21 1 1 60,37 60,37 60,37 60,37 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-22 1 1 60,45 60,45 60,45 60,45 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-23 1 1 60,39 60,39 60,39 60,39 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-26 1 1 60,57 60,57 60,57 60,57 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-27 1 1 60,72 60,72 60,72 60,72 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-28 1 1 61,03 61,03 61,03 61,03 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-29 1 1 61,03 61,03 61,03 61,03 820852 Robur Fonder AB Robur Nordenfond SEK 2005-09-30 1 1 61,1 61,1 61,1 61,1 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-03 1 1 61,4 61,4 61,4 61,4 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-04 1 1 61,2 61,2 61,2 61,2 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-05 1 1 60,61 60,61 60,61 60,61 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-06 1 1 59,42 59,42 59,42 59,42 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-07 1 1 59,57 59,57 59,57 59,57 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-10 1 1 59,89 59,89 59,89 59,89 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-11 1 1 60,16 60,16 60,16 60,16 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-12 1 1 59,88 59,88 59,88 59,88 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-13 1 1 58,57 58,57 58,57 58,57 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-14 1 1 58,43 58,43 58,43 58,43 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-17 1 1 58,86 58,86 58,86 58,86 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-18 1 1 58,19 58,19 58,19 58,19 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-19 1 1 56,9 56,9 56,9 56,9 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-20 1 1 57,24 57,24 57,24 57,24 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-21 1 1 56,68 56,68 56,68 56,68 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-24 1 1 57,79 57,79 57,79 57,79 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-25 1 1 57,92 57,92 57,92 57,92 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-26 1 1 58,34 58,34 58,34 58,34 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-27 1 1 57,65 57,65 57,65 57,65 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-28 1 1 57,56 57,56 57,56 57,56 820852 Robur Fonder AB Robur Nordenfond SEK 2005-10-31 1 1 58,99 58,99 58,99 58,99 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-01 1 1 59,52 59,52 59,52 59,52 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-02 1 1 59,6 59,6 59,6 59,6 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-03 1 1 60,65 60,65 60,65 60,65 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-04 1 1 60,63 60,63 60,63 60,63 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-07 1 1 60,68 60,68 60,68 60,68 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-08 1 1 60,28 60,28 60,28 60,28 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-09 1 1 60,68 60,68 60,68 60,68 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-10 1 1 60,76 60,76 60,76 60,76 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-11 1 1 60,7 60,7 60,7 60,7 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-14 1 1 60,95 60,95 60,95 60,95 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-15 1 1 60,85 60,85 60,85 60,85 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-16 1 1 60,6 60,6 60,6 60,6 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-17 1 1 61,12 61,12 61,12 61,12 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-18 1 1 61,13 61,13 61,13 61,13 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-21 1 1 61,18 61,18 61,18 61,18 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-22 1 1 61,5 61,5 61,5 61,5 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-23 1 1 61,34 61,34 61,34 61,34 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-24 1 1 61,03 61,03 61,03 61,03 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-25 1 1 61,27 61,27 61,27 61,27 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-28 1 1 61,04 61,04 61,04 61,04 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-29 1 1 60,88 60,88 60,88 60,88 820852 Robur Fonder AB Robur Nordenfond SEK 2005-11-30 1 1 60,92 60,92 60,92 60,92 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-01 1 1 61,5 61,5 61,5 61,5 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-02 1 1 62,1 62,1 62,1 62,1 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-05 1 1 62,18 62,18 62,18 62,18 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-06 1 1 62,3 62,3 62,3 62,3 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-07 1 1 62,77 62,77 62,77 62,77 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-08 1 1 62,79 62,79 62,79 62,79 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-12 1 1 61,84 61,84 61,84 61,84 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-13 1 1 61,83 61,83 61,83 61,83 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-14 1 1 61,83 61,83 61,83 61,83 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-15 1 1 61,48 61,48 61,48 61,48 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-16 1 1 61,88 61,88 61,88 61,88 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-19 1 1 61,72 61,72 61,72 61,72 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-20 1 1 61,61 61,61 61,61 61,61 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-21 1 1 62,07 62,07 62,07 62,07 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-22 1 1 62,41 62,41 62,41 62,41 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-23 1 1 62,89 62,89 62,89 62,89 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-27 1 1 63,26 63,26 63,26 63,26 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-28 1 1 62,97 62,97 62,97 62,97 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-29 1 1 63,22 63,22 63,22 63,22 820852 Robur Fonder AB Robur Nordenfond SEK 2005-12-30 1 1 63,02 63,02 63,02 63,02 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-03 1 1 9,53 9,53 9,53 9,53 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-04 1 1 9,54 9,54 9,54 9,54 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-05 1 1 9,5 9,5 9,5 9,5 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-07 1 1 9,52 9,52 9,52 9,52 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-10 1 1 9,56 9,56 9,56 9,56 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-11 1 1 9,51 9,51 9,51 9,51 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-12 1 1 9,47 9,47 9,47 9,47 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-13 1 1 9,47 9,47 9,47 9,47 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-14 1 1 9,5 9,5 9,5 9,5 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-17 1 1 9,54 9,54 9,54 9,54 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-18 1 1 9,51 9,51 9,51 9,51 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-19 1 1 9,56 9,56 9,56 9,56 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-20 1 1 9,51 9,51 9,51 9,51 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-21 1 1 9,52 9,52 9,52 9,52 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-24 1 1 9,48 9,48 9,48 9,48 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-25 1 1 9,51 9,51 9,51 9,51 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-26 1 1 9,54 9,54 9,54 9,54 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-27 1 1 9,53 9,53 9,53 9,53 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-28 1 1 9,51 9,51 9,51 9,51 713362 Robur Fonder AB Robur NorrMix SEK 2005-01-31 1 1 9,54 9,54 9,54 9,54 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-01 1 1 9,57 9,57 9,57 9,57 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-02 1 1 9,6 9,6 9,6 9,6 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-03 1 1 9,59 9,59 9,59 9,59 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-04 1 1 9,63 9,63 9,63 9,63 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-07 1 1 9,69 9,69 9,69 9,69 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-08 1 1 9,72 9,72 9,72 9,72 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-09 1 1 9,75 9,75 9,75 9,75 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-10 1 1 9,7 9,7 9,7 9,7 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-11 1 1 9,74 9,74 9,74 9,74 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-14 1 1 9,73 9,73 9,73 9,73 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-15 1 1 9,76 9,76 9,76 9,76 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-16 1 1 9,71 9,71 9,71 9,71 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-17 1 1 9,75 9,75 9,75 9,75 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-18 1 1 9,71 9,71 9,71 9,71 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-21 1 1 9,71 9,71 9,71 9,71 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-22 1 1 9,68 9,68 9,68 9,68 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-23 1 1 9,67 9,67 9,67 9,67 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-24 1 1 9,69 9,69 9,69 9,69 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-25 1 1 9,74 9,74 9,74 9,74 713362 Robur Fonder AB Robur NorrMix SEK 2005-02-28 1 1 9,8 9,8 9,8 9,8 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-01 1 1 9,79 9,79 9,79 9,79 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-02 1 1 9,78 9,78 9,78 9,78 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-03 1 1 9,8 9,8 9,8 9,8 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-04 1 1 9,82 9,82 9,82 9,82 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-07 1 1 9,8 9,8 9,8 9,8 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-08 1 1 9,79 9,79 9,79 9,79 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-09 1 1 9,77 9,77 9,77 9,77 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-10 1 1 9,73 9,73 9,73 9,73 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-11 1 1 9,73 9,73 9,73 9,73 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-14 1 1 9,74 9,74 9,74 9,74 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-15 1 1 9,77 9,77 9,77 9,77 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-16 1 1 9,73 9,73 9,73 9,73 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-17 1 1 9,71 9,71 9,71 9,71 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-18 1 1 9,71 9,71 9,71 9,71 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-21 1 1 9,68 9,68 9,68 9,68 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-22 1 1 9,7 9,7 9,7 9,7 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-23 1 1 9,66 9,66 9,66 9,66 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-24 1 1 9,72 9,72 9,72 9,72 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-29 1 1 9,7 9,7 9,7 9,7 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-30 1 1 9,68 9,68 9,68 9,68 713362 Robur Fonder AB Robur NorrMix SEK 2005-03-31 1 1 9,73 9,73 9,73 9,73 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-01 1 1 9,74 9,74 9,74 9,74 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-04 1 1 9,73 9,73 9,73 9,73 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-05 1 1 9,75 9,75 9,75 9,75 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-06 1 1 9,79 9,79 9,79 9,79 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-07 1 1 9,81 9,81 9,81 9,81 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-08 1 1 9,83 9,83 9,83 9,83 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-11 1 1 9,84 9,84 9,84 9,84 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-12 1 1 9,83 9,83 9,83 9,83 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-13 1 1 9,88 9,88 9,88 9,88 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-14 1 1 9,88 9,88 9,88 9,88 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-15 1 1 9,82 9,82 9,82 9,82 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-18 1 1 9,74 9,74 9,74 9,74 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-19 1 1 9,76 9,76 9,76 9,76 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-20 1 1 9,78 9,78 9,78 9,78 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-21 1 1 9,77 9,77 9,77 9,77 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-22 1 1 9,82 9,82 9,82 9,82 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-25 1 1 9,83 9,83 9,83 9,83 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-26 1 1 9,8 9,8 9,8 9,8 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-27 1 1 9,71 9,71 9,71 9,71 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-28 1 1 9,65 9,65 9,65 9,65 713362 Robur Fonder AB Robur NorrMix SEK 2005-04-29 1 1 9,66 9,66 9,66 9,66 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-02 1 1 9,69 9,69 9,69 9,69 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-03 1 1 9,67 9,67 9,67 9,67 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-04 1 1 9,67 9,67 9,67 9,67 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-06 1 1 9,72 9,72 9,72 9,72 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-09 1 1 9,73 9,73 9,73 9,73 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-10 1 1 9,72 9,72 9,72 9,72 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-11 1 1 9,72 9,72 9,72 9,72 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-12 1 1 9,78 9,78 9,78 9,78 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-13 1 1 9,76 9,76 9,76 9,76 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-16 1 1 9,77 9,77 9,77 9,77 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-17 1 1 9,8 9,8 9,8 9,8 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-18 1 1 9,88 9,88 9,88 9,88 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-19 1 1 9,91 9,91 9,91 9,91 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-20 1 1 9,89 9,89 9,89 9,89 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-23 1 1 9,91 9,91 9,91 9,91 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-24 1 1 9,9 9,9 9,9 9,9 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-25 1 1 9,89 9,89 9,89 9,89 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-26 1 1 9,94 9,94 9,94 9,94 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-27 1 1 9,95 9,95 9,95 9,95 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-30 1 1 9,95 9,95 9,95 9,95 713362 Robur Fonder AB Robur NorrMix SEK 2005-05-31 1 1 9,99 9,99 9,99 9,99 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-01 1 1 10 10 10 10 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-02 1 1 9,97 9,97 9,97 9,97 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-03 1 1 9,97 9,97 9,97 9,97 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-07 1 1 10,02 10,02 10,02 10,02 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-08 1 1 10,05 10,05 10,05 10,05 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-09 1 1 10,05 10,05 10,05 10,05 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-10 1 1 10,07 10,07 10,07 10,07 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-13 1 1 10,08 10,08 10,08 10,08 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-14 1 1 10,12 10,12 10,12 10,12 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-15 1 1 10,09 10,09 10,09 10,09 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-16 1 1 10,12 10,12 10,12 10,12 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-17 1 1 10,14 10,14 10,14 10,14 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-20 1 1 10,13 10,13 10,13 10,13 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-21 1 1 10,17 10,17 10,17 10,17 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-22 1 1 10,19 10,19 10,19 10,19 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-23 1 1 10,24 10,24 10,24 10,24 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-27 1 1 10,14 10,14 10,14 10,14 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-28 1 1 10,16 10,16 10,16 10,16 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-29 1 1 10,21 10,21 10,21 10,21 713362 Robur Fonder AB Robur NorrMix SEK 2005-06-30 1 1 10,23 10,23 10,23 10,23 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-01 1 1 10,27 10,27 10,27 10,27 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-04 1 1 10,29 10,29 10,29 10,29 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-05 1 1 10,29 10,29 10,29 10,29 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-06 1 1 10,28 10,28 10,28 10,28 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-07 1 1 10,19 10,19 10,19 10,19 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-08 1 1 10,26 10,26 10,26 10,26 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-11 1 1 10,36 10,36 10,36 10,36 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-12 1 1 10,39 10,39 10,39 10,39 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-13 1 1 10,43 10,43 10,43 10,43 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-14 1 1 10,41 10,41 10,41 10,41 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-15 1 1 10,4 10,4 10,4 10,4 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-18 1 1 10,39 10,39 10,39 10,39 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-19 1 1 10,4 10,4 10,4 10,4 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-20 1 1 10,39 10,39 10,39 10,39 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-21 1 1 10,46 10,46 10,46 10,46 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-22 1 1 10,47 10,47 10,47 10,47 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-25 1 1 10,46 10,46 10,46 10,46 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-26 1 1 10,48 10,48 10,48 10,48 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-27 1 1 10,52 10,52 10,52 10,52 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-28 1 1 10,56 10,56 10,56 10,56 713362 Robur Fonder AB Robur NorrMix SEK 2005-07-29 1 1 10,54 10,54 10,54 10,54 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-01 1 1 10,55 10,55 10,55 10,55 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-02 1 1 10,59 10,59 10,59 10,59 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-03 1 1 10,57 10,57 10,57 10,57 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-04 1 1 10,54 10,54 10,54 10,54 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-05 1 1 10,55 10,55 10,55 10,55 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-08 1 1 10,56 10,56 10,56 10,56 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-09 1 1 10,56 10,56 10,56 10,56 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-10 1 1 10,64 10,64 10,64 10,64 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-11 1 1 10,62 10,62 10,62 10,62 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-12 1 1 10,62 10,62 10,62 10,62 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-15 1 1 10,62 10,62 10,62 10,62 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-16 1 1 10,64 10,64 10,64 10,64 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-17 1 1 10,62 10,62 10,62 10,62 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-18 1 1 10,63 10,63 10,63 10,63 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-19 1 1 10,71 10,71 10,71 10,71 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-22 1 1 10,71 10,71 10,71 10,71 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-23 1 1 10,68 10,68 10,68 10,68 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-24 1 1 10,58 10,58 10,58 10,58 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-25 1 1 10,53 10,53 10,53 10,53 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-26 1 1 10,52 10,52 10,52 10,52 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-29 1 1 10,53 10,53 10,53 10,53 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-30 1 1 10,53 10,53 10,53 10,53 713362 Robur Fonder AB Robur NorrMix SEK 2005-08-31 1 1 10,58 10,58 10,58 10,58 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-01 1 1 10,61 10,61 10,61 10,61 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-02 1 1 10,59 10,59 10,59 10,59 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-05 1 1 10,63 10,63 10,63 10,63 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-06 1 1 10,67 10,67 10,67 10,67 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-07 1 1 10,69 10,69 10,69 10,69 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-08 1 1 10,7 10,7 10,7 10,7 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-09 1 1 10,74 10,74 10,74 10,74 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-12 1 1 10,76 10,76 10,76 10,76 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-13 1 1 10,78 10,78 10,78 10,78 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-14 1 1 10,77 10,77 10,77 10,77 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-15 1 1 10,76 10,76 10,76 10,76 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-16 1 1 10,8 10,8 10,8 10,8 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-19 1 1 10,81 10,81 10,81 10,81 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-20 1 1 10,79 10,79 10,79 10,79 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-21 1 1 10,75 10,75 10,75 10,75 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-22 1 1 10,76 10,76 10,76 10,76 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-23 1 1 10,77 10,77 10,77 10,77 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-26 1 1 10,84 10,84 10,84 10,84 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-27 1 1 10,86 10,86 10,86 10,86 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-28 1 1 10,92 10,92 10,92 10,92 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-29 1 1 10,92 10,92 10,92 10,92 713362 Robur Fonder AB Robur NorrMix SEK 2005-09-30 1 1 10,95 10,95 10,95 10,95 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-03 1 1 10,99 10,99 10,99 10,99 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-04 1 1 11,01 11,01 11,01 11,01 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-05 1 1 10,97 10,97 10,97 10,97 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-06 1 1 10,89 10,89 10,89 10,89 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-07 1 1 10,89 10,89 10,89 10,89 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-10 1 1 10,93 10,93 10,93 10,93 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-11 1 1 10,94 10,94 10,94 10,94 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-12 1 1 10,87 10,87 10,87 10,87 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-13 1 1 10,79 10,79 10,79 10,79 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-14 1 1 10,8 10,8 10,8 10,8 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-17 1 1 10,79 10,79 10,79 10,79 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-18 1 1 10,78 10,78 10,78 10,78 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-19 1 1 10,71 10,71 10,71 10,71 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-20 1 1 10,7 10,7 10,7 10,7 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-21 1 1 10,65 10,65 10,65 10,65 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-24 1 1 10,74 10,74 10,74 10,74 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-25 1 1 10,78 10,78 10,78 10,78 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-26 1 1 10,82 10,82 10,82 10,82 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-27 1 1 10,76 10,76 10,76 10,76 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-28 1 1 10,77 10,77 10,77 10,77 713362 Robur Fonder AB Robur NorrMix SEK 2005-10-31 1 1 10,85 10,85 10,85 10,85 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-01 1 1 10,91 10,91 10,91 10,91 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-02 1 1 10,93 10,93 10,93 10,93 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-03 1 1 10,96 10,96 10,96 10,96 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-04 1 1 10,96 10,96 10,96 10,96 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-07 1 1 10,98 10,98 10,98 10,98 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-08 1 1 11 11 11 11 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-09 1 1 11 11 11 11 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-10 1 1 11,01 11,01 11,01 11,01 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-11 1 1 11,1 11,1 11,1 11,1 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-14 1 1 11,15 11,15 11,15 11,15 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-15 1 1 11,14 11,14 11,14 11,14 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-16 1 1 11,15 11,15 11,15 11,15 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-17 1 1 11,2 11,2 11,2 11,2 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-18 1 1 11,26 11,26 11,26 11,26 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-21 1 1 11,3 11,3 11,3 11,3 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-22 1 1 11,3 11,3 11,3 11,3 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-23 1 1 11,28 11,28 11,28 11,28 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-24 1 1 11,28 11,28 11,28 11,28 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-25 1 1 11,3 11,3 11,3 11,3 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-28 1 1 11,3 11,3 11,3 11,3 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-29 1 1 11,33 11,33 11,33 11,33 713362 Robur Fonder AB Robur NorrMix SEK 2005-11-30 1 1 11,32 11,32 11,32 11,32 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-01 1 1 11,4 11,4 11,4 11,4 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-02 1 1 11,48 11,48 11,48 11,48 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-05 1 1 11,47 11,47 11,47 11,47 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-06 1 1 11,53 11,53 11,53 11,53 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-07 1 1 11,57 11,57 11,57 11,57 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-08 1 1 11,54 11,54 11,54 11,54 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-12 1 1 11,36 11,36 11,36 11,36 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-13 1 1 11,33 11,33 11,33 11,33 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-14 1 1 11,31 11,31 11,31 11,31 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-15 1 1 11,31 11,31 11,31 11,31 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-16 1 1 11,32 11,32 11,32 11,32 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-19 1 1 11,33 11,33 11,33 11,33 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-20 1 1 11,33 11,33 11,33 11,33 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-21 1 1 11,4 11,4 11,4 11,4 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-22 1 1 11,43 11,43 11,43 11,43 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-23 1 1 11,49 11,49 11,49 11,49 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-27 1 1 11,53 11,53 11,53 11,53 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-28 1 1 11,54 11,54 11,54 11,54 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-29 1 1 11,56 11,56 11,56 11,56 713362 Robur Fonder AB Robur NorrMix SEK 2005-12-30 1 1 11,54 11,54 11,54 11,54 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-03 1 1 114,27 114,27 114,27 114,27 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-04 1 1 114,28 114,28 114,28 114,28 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-05 1 1 114,14 114,14 114,14 114,14 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-07 1 1 114,47 114,47 114,47 114,47 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-10 1 1 114,55 114,55 114,55 114,55 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-11 1 1 114,58 114,58 114,58 114,58 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-12 1 1 114,6 114,6 114,6 114,6 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-13 1 1 114,72 114,72 114,72 114,72 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-14 1 1 114,75 114,75 114,75 114,75 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-17 1 1 114,81 114,81 114,81 114,81 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-18 1 1 114,76 114,76 114,76 114,76 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-19 1 1 114,92 114,92 114,92 114,92 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-20 1 1 114,79 114,79 114,79 114,79 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-21 1 1 114,95 114,95 114,95 114,95 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-24 1 1 115,1 115,1 115,1 115,1 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-25 1 1 115,08 115,08 115,08 115,08 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-26 1 1 115,03 115,03 115,03 115,03 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-27 1 1 114,96 114,96 114,96 114,96 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-28 1 1 115,12 115,12 115,12 115,12 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-01-31 1 1 115,13 115,13 115,13 115,13 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-01 1 1 115,23 115,23 115,23 115,23 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-02 1 1 115,23 115,23 115,23 115,23 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-03 1 1 115,18 115,18 115,18 115,18 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-04 1 1 115,32 115,32 115,32 115,32 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-07 1 1 115,33 115,33 115,33 115,33 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-08 1 1 115,28 115,28 115,28 115,28 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-09 1 1 115,45 115,45 115,45 115,45 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-10 1 1 115,58 115,58 115,58 115,58 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-11 1 1 115,57 115,57 115,57 115,57 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-14 1 1 115,45 115,45 115,45 115,45 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-15 1 1 115,43 115,43 115,43 115,43 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-16 1 1 115,51 115,51 115,51 115,51 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-17 1 1 115,49 115,49 115,49 115,49 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-18 1 1 115,2 115,2 115,2 115,2 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-21 1 1 115,06 115,06 115,06 115,06 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-22 1 1 114,99 114,99 114,99 114,99 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-23 1 1 115,14 115,14 115,14 115,14 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-24 1 1 115,04 115,04 115,04 115,04 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-25 1 1 114,99 114,99 114,99 114,99 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-02-28 1 1 115,1 115,1 115,1 115,1 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-01 1 1 115,07 115,07 115,07 115,07 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-02 1 1 114,96 114,96 114,96 114,96 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-03 1 1 115,04 115,04 115,04 115,04 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-04 1 1 115,27 115,27 115,27 115,27 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-07 1 1 115,36 115,36 115,36 115,36 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-08 1 1 115,44 115,44 115,44 115,44 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-09 1 1 115,32 115,32 115,32 115,32 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-10 1 1 115,33 115,33 115,33 115,33 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-11 1 1 115,17 115,17 115,17 115,17 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-14 1 1 115,13 115,13 115,13 115,13 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-15 1 1 115,29 115,29 115,29 115,29 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-16 1 1 115,19 115,19 115,19 115,19 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-17 1 1 115,24 115,24 115,24 115,24 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-18 1 1 115,2 115,2 115,2 115,2 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-21 1 1 115,09 115,09 115,09 115,09 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-22 1 1 115,26 115,26 115,26 115,26 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-23 1 1 115,18 115,18 115,18 115,18 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-24 1 1 115,22 115,22 115,22 115,22 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-29 1 1 115,24 115,24 115,24 115,24 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-30 1 1 115,34 115,34 115,34 115,34 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-03-31 1 1 115,57 115,57 115,57 115,57 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-01 1 1 115,76 115,76 115,76 115,76 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-04 1 1 115,81 115,81 115,81 115,81 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-05 1 1 115,81 115,81 115,81 115,81 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-06 1 1 115,91 115,91 115,91 115,91 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-07 1 1 115,94 115,94 115,94 115,94 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-08 1 1 115,81 115,81 115,81 115,81 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-11 1 1 115,91 115,91 115,91 115,91 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-12 1 1 115,94 115,94 115,94 115,94 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-13 1 1 116,13 116,13 116,13 116,13 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-14 1 1 116,22 116,22 116,22 116,22 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-15 1 1 116,41 116,41 116,41 116,41 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-18 1 1 116,46 116,46 116,46 116,46 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-19 1 1 116,52 116,52 116,52 116,52 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-20 1 1 116,57 116,57 116,57 116,57 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-21 1 1 116,58 116,58 116,58 116,58 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-22 1 1 116,67 116,67 116,67 116,67 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-25 1 1 116,76 116,76 116,76 116,76 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-26 1 1 116,86 116,86 116,86 116,86 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-27 1 1 117,09 117,09 117,09 117,09 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-28 1 1 117,22 117,22 117,22 117,22 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-04-29 1 1 117,3 117,3 117,3 117,3 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-02 1 1 117,38 117,38 117,38 117,38 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-03 1 1 117,48 117,48 117,48 117,48 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-04 1 1 117,28 117,28 117,28 117,28 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-06 1 1 117,07 117,07 117,07 117,07 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-09 1 1 117,14 117,14 117,14 117,14 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-10 1 1 117,44 117,44 117,44 117,44 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-11 1 1 117,58 117,58 117,58 117,58 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-12 1 1 117,48 117,48 117,48 117,48 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-13 1 1 117,68 117,68 117,68 117,68 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-16 1 1 117,71 117,71 117,71 117,71 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-17 1 1 117,74 117,74 117,74 117,74 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-18 1 1 118 118 118 118 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-19 1 1 117,93 117,93 117,93 117,93 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-20 1 1 117,79 117,79 117,79 117,79 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-23 1 1 117,81 117,81 117,81 117,81 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-24 1 1 117,9 117,9 117,9 117,9 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-25 1 1 118,05 118,05 118,05 118,05 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-26 1 1 117,89 117,89 117,89 117,89 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-27 1 1 117,94 117,94 117,94 117,94 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-30 1 1 117,84 117,84 117,84 117,84 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-05-31 1 1 118,11 118,11 118,11 118,11 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-01 1 1 118,31 118,31 118,31 118,31 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-02 1 1 118,37 118,37 118,37 118,37 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-03 1 1 118,6 118,6 118,6 118,6 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-07 1 1 118,56 118,56 118,56 118,56 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-08 1 1 118,91 118,91 118,91 118,91 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-09 1 1 118,95 118,95 118,95 118,95 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-10 1 1 118,97 118,97 118,97 118,97 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-13 1 1 118,92 118,92 118,92 118,92 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-14 1 1 118,77 118,77 118,77 118,77 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-15 1 1 118,64 118,64 118,64 118,64 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-16 1 1 118,53 118,53 118,53 118,53 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-17 1 1 118,7 118,7 118,7 118,7 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-20 1 1 118,7 118,7 118,7 118,7 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-21 1 1 119,21 119,21 119,21 119,21 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-22 1 1 119,5 119,5 119,5 119,5 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-23 1 1 119,44 119,44 119,44 119,44 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-27 1 1 119,53 119,53 119,53 119,53 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-28 1 1 119,44 119,44 119,44 119,44 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-29 1 1 119,55 119,55 119,55 119,55 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-06-30 1 1 119,54 119,54 119,54 119,54 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-01 1 1 119,62 119,62 119,62 119,62 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-04 1 1 119,39 119,39 119,39 119,39 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-05 1 1 119,25 119,25 119,25 119,25 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-06 1 1 119,35 119,35 119,35 119,35 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-07 1 1 119,53 119,53 119,53 119,53 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-08 1 1 119,56 119,56 119,56 119,56 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-11 1 1 119,41 119,41 119,41 119,41 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-12 1 1 119,29 119,29 119,29 119,29 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-13 1 1 119,27 119,27 119,27 119,27 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-14 1 1 119,22 119,22 119,22 119,22 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-15 1 1 119,14 119,14 119,14 119,14 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-18 1 1 119,24 119,24 119,24 119,24 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-19 1 1 119,23 119,23 119,23 119,23 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-20 1 1 119,27 119,27 119,27 119,27 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-21 1 1 119,32 119,32 119,32 119,32 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-22 1 1 119,42 119,42 119,42 119,42 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-25 1 1 119,51 119,51 119,51 119,51 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-26 1 1 119,43 119,43 119,43 119,43 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-27 1 1 119,58 119,58 119,58 119,58 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-28 1 1 119,44 119,44 119,44 119,44 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-07-29 1 1 119,29 119,29 119,29 119,29 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-01 1 1 118,99 118,99 118,99 118,99 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-02 1 1 118,84 118,84 118,84 118,84 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-03 1 1 118,75 118,75 118,75 118,75 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-04 1 1 118,89 118,89 118,89 118,89 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-05 1 1 118,66 118,66 118,66 118,66 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-08 1 1 118,64 118,64 118,64 118,64 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-09 1 1 118,69 118,69 118,69 118,69 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-10 1 1 118,82 118,82 118,82 118,82 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-11 1 1 118,87 118,87 118,87 118,87 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-12 1 1 118,94 118,94 118,94 118,94 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-15 1 1 118,98 118,98 118,98 118,98 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-16 1 1 119,04 119,04 119,04 119,04 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-17 1 1 119,06 119,06 119,06 119,06 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-18 1 1 119,04 119,04 119,04 119,04 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-19 1 1 119,02 119,02 119,02 119,02 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-22 1 1 119,04 119,04 119,04 119,04 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-23 1 1 119,2 119,2 119,2 119,2 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-24 1 1 119,17 119,17 119,17 119,17 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-25 1 1 119,29 119,29 119,29 119,29 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-26 1 1 119,31 119,31 119,31 119,31 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-29 1 1 119,24 119,24 119,24 119,24 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-30 1 1 119,25 119,25 119,25 119,25 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-08-31 1 1 119,44 119,44 119,44 119,44 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-01 1 1 119,59 119,59 119,59 119,59 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-02 1 1 119,71 119,71 119,71 119,71 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-05 1 1 119,79 119,79 119,79 119,79 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-06 1 1 119,68 119,68 119,68 119,68 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-07 1 1 119,69 119,69 119,69 119,69 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-08 1 1 119,8 119,8 119,8 119,8 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-09 1 1 119,92 119,92 119,92 119,92 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-12 1 1 119,64 119,64 119,64 119,64 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-13 1 1 119,66 119,66 119,66 119,66 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-14 1 1 119,68 119,68 119,68 119,68 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-15 1 1 119,59 119,59 119,59 119,59 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-16 1 1 119,55 119,55 119,55 119,55 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-19 1 1 119,54 119,54 119,54 119,54 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-20 1 1 119,68 119,68 119,68 119,68 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-21 1 1 119,87 119,87 119,87 119,87 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-22 1 1 119,88 119,88 119,88 119,88 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-23 1 1 119,74 119,74 119,74 119,74 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-26 1 1 119,59 119,59 119,59 119,59 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-27 1 1 119,6 119,6 119,6 119,6 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-28 1 1 119,54 119,54 119,54 119,54 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-29 1 1 119,41 119,41 119,41 119,41 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-09-30 1 1 119,42 119,42 119,42 119,42 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-03 1 1 119,24 119,24 119,24 119,24 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-04 1 1 119,23 119,23 119,23 119,23 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-05 1 1 119,27 119,27 119,27 119,27 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-06 1 1 119,21 119,21 119,21 119,21 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-07 1 1 119,16 119,16 119,16 119,16 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-10 1 1 119,16 119,16 119,16 119,16 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-11 1 1 119,14 119,14 119,14 119,14 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-12 1 1 119,06 119,06 119,06 119,06 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-13 1 1 119,01 119,01 119,01 119,01 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-14 1 1 119,04 119,04 119,04 119,04 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-17 1 1 119,01 119,01 119,01 119,01 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-18 1 1 119,02 119,02 119,02 119,02 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-19 1 1 119,16 119,16 119,16 119,16 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-20 1 1 119,05 119,05 119,05 119,05 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-21 1 1 119,19 119,19 119,19 119,19 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-24 1 1 119,21 119,21 119,21 119,21 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-25 1 1 119,08 119,08 119,08 119,08 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-26 1 1 118,88 118,88 118,88 118,88 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-27 1 1 118,9 118,9 118,9 118,9 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-28 1 1 118,87 118,87 118,87 118,87 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-10-31 1 1 118,82 118,82 118,82 118,82 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-01 1 1 118,84 118,84 118,84 118,84 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-02 1 1 118,68 118,68 118,68 118,68 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-03 1 1 118,67 118,67 118,67 118,67 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-04 1 1 118,47 118,47 118,47 118,47 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-07 1 1 118,39 118,39 118,39 118,39 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-08 1 1 118,45 118,45 118,45 118,45 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-09 1 1 118,37 118,37 118,37 118,37 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-10 1 1 118,38 118,38 118,38 118,38 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-11 1 1 118,45 118,45 118,45 118,45 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-14 1 1 118,51 118,51 118,51 118,51 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-15 1 1 118,41 118,41 118,41 118,41 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-16 1 1 118,6 118,6 118,6 118,6 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-17 1 1 118,55 118,55 118,55 118,55 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-18 1 1 118,38 118,38 118,38 118,38 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-21 1 1 118,43 118,43 118,43 118,43 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-22 1 1 118,48 118,48 118,48 118,48 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-23 1 1 118,56 118,56 118,56 118,56 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-24 1 1 118,74 118,74 118,74 118,74 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-25 1 1 118,66 118,66 118,66 118,66 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-28 1 1 118,64 118,64 118,64 118,64 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-29 1 1 118,65 118,65 118,65 118,65 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-11-30 1 1 118,59 118,59 118,59 118,59 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-01 1 1 118,69 118,69 118,69 118,69 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-02 1 1 112,42 112,42 112,42 112,42 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-05 1 1 112,3 112,3 112,3 112,3 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-06 1 1 112,26 112,26 112,26 112,26 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-07 1 1 112,34 112,34 112,34 112,34 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-08 1 1 112,26 112,26 112,26 112,26 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-12 1 1 112,23 112,23 112,23 112,23 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-13 1 1 112,3 112,3 112,3 112,3 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-14 1 1 112,44 112,44 112,44 112,44 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-15 1 1 112,45 112,45 112,45 112,45 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-16 1 1 112,45 112,45 112,45 112,45 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-19 1 1 112,5 112,5 112,5 112,5 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-20 1 1 112,47 112,47 112,47 112,47 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-21 1 1 112,42 112,42 112,42 112,42 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-22 1 1 112,36 112,36 112,36 112,36 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-23 1 1 112,4 112,4 112,4 112,4 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-27 1 1 112,49 112,49 112,49 112,49 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-28 1 1 112,52 112,52 112,52 112,52 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-29 1 1 112,5 112,5 112,5 112,5 680546 Robur Fonder AB Robur Obligationsfond MEGA SEK 2005-12-30 1 1 112,56 112,56 112,56 112,56 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-03 1 1 15,53 15,53 15,53 15,53 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-04 1 1 15,66 15,66 15,66 15,66 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-05 1 1 15,47 15,47 15,47 15,47 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-07 1 1 15,56 15,56 15,56 15,56 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-10 1 1 15,62 15,62 15,62 15,62 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-11 1 1 15,56 15,56 15,56 15,56 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-12 1 1 15,45 15,45 15,45 15,45 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-13 1 1 15,61 15,61 15,61 15,61 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-14 1 1 15,77 15,77 15,77 15,77 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-17 1 1 16,06 16,06 16,06 16,06 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-18 1 1 16,12 16,12 16,12 16,12 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-19 1 1 16,06 16,06 16,06 16,06 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-20 1 1 16,06 16,06 16,06 16,06 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-21 1 1 15,98 15,98 15,98 15,98 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-24 1 1 15,95 15,95 15,95 15,95 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-25 1 1 16,1 16,1 16,1 16,1 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-26 1 1 16,12 16,12 16,12 16,12 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-27 1 1 16,07 16,07 16,07 16,07 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-28 1 1 16,17 16,17 16,17 16,17 104257 Robur Fonder AB Robur Pacificfond SEK 2005-01-31 1 1 16,32 16,32 16,32 16,32 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-01 1 1 16,22 16,22 16,22 16,22 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-02 1 1 16,26 16,26 16,26 16,26 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-03 1 1 16,41 16,41 16,41 16,41 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-04 1 1 16,46 16,46 16,46 16,46 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-07 1 1 16,78 16,78 16,78 16,78 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-14 1 1 16,84 16,84 16,84 16,84 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-15 1 1 16,86 16,86 16,86 16,86 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-16 1 1 16,86 16,86 16,86 16,86 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-17 1 1 16,73 16,73 16,73 16,73 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-18 1 1 16,85 16,85 16,85 16,85 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-21 1 1 16,92 16,92 16,92 16,92 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-22 1 1 16,75 16,75 16,75 16,75 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-23 1 1 16,65 16,65 16,65 16,65 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-24 1 1 16,77 16,77 16,77 16,77 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-25 1 1 16,94 16,94 16,94 16,94 104257 Robur Fonder AB Robur Pacificfond SEK 2005-02-28 1 1 16,94 16,94 16,94 16,94 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-01 1 1 17,04 17,04 17,04 17,04 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-02 1 1 16,98 16,98 16,98 16,98 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-03 1 1 16,95 16,95 16,95 16,95 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-04 1 1 16,71 16,71 16,71 16,71 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-07 1 1 16,81 16,81 16,81 16,81 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-08 1 1 16,65 16,65 16,65 16,65 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-09 1 1 16,74 16,74 16,74 16,74 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-10 1 1 16,57 16,57 16,57 16,57 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-11 1 1 16,67 16,67 16,67 16,67 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-14 1 1 16,67 16,67 16,67 16,67 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-15 1 1 16,44 16,44 16,44 16,44 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-16 1 1 16,4 16,4 16,4 16,4 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-17 1 1 16,39 16,39 16,39 16,39 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-18 1 1 16,54 16,54 16,54 16,54 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-21 1 1 16,65 16,65 16,65 16,65 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-22 1 1 16,53 16,53 16,53 16,53 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-23 1 1 16,57 16,57 16,57 16,57 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-24 1 1 16,48 16,48 16,48 16,48 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-29 1 1 16,44 16,44 16,44 16,44 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-30 1 1 16,33 16,33 16,33 16,33 104257 Robur Fonder AB Robur Pacificfond SEK 2005-03-31 1 1 16,52 16,52 16,52 16,52 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-01 1 1 16,77 16,77 16,77 16,77 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-04 1 1 16,91 16,91 16,91 16,91 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-06 1 1 16,9 16,9 16,9 16,9 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-07 1 1 16,82 16,82 16,82 16,82 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-08 1 1 17,08 17,08 17,08 17,08 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-11 1 1 16,84 16,84 16,84 16,84 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-12 1 1 16,9 16,9 16,9 16,9 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-13 1 1 17,01 17,01 17,01 17,01 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-14 1 1 16,93 16,93 16,93 16,93 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-15 1 1 16,56 16,56 16,56 16,56 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-18 1 1 16,1 16,1 16,1 16,1 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-19 1 1 16,25 16,25 16,25 16,25 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-20 1 1 16,28 16,28 16,28 16,28 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-21 1 1 16,26 16,26 16,26 16,26 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-22 1 1 16,37 16,37 16,37 16,37 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-25 1 1 16,5 16,5 16,5 16,5 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-26 1 1 16,57 16,57 16,57 16,57 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-27 1 1 16,46 16,46 16,46 16,46 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-28 1 1 16,55 16,55 16,55 16,55 104257 Robur Fonder AB Robur Pacificfond SEK 2005-04-29 1 1 16,62 16,62 16,62 16,62 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-02 1 1 16,74 16,74 16,74 16,74 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-03 1 1 16,74 16,74 16,74 16,74 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-04 1 1 16,75 16,75 16,75 16,75 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-06 1 1 17,15 17,15 17,15 17,15 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-09 1 1 17,17 17,17 17,17 17,17 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-10 1 1 17,13 17,13 17,13 17,13 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-11 1 1 17,13 17,13 17,13 17,13 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-12 1 1 17,23 17,23 17,23 17,23 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-13 1 1 17,32 17,32 17,32 17,32 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-16 1 1 17,29 17,29 17,29 17,29 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-17 1 1 17,18 17,18 17,18 17,18 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-18 1 1 17,17 17,17 17,17 17,17 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-19 1 1 17,39 17,39 17,39 17,39 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-20 1 1 17,39 17,39 17,39 17,39 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-23 1 1 17,24 17,24 17,24 17,24 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-24 1 1 17,3 17,3 17,3 17,3 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-25 1 1 17,12 17,12 17,12 17,12 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-26 1 1 17,3 17,3 17,3 17,3 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-27 1 1 17,48 17,48 17,48 17,48 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-30 1 1 17,68 17,68 17,68 17,68 104257 Robur Fonder AB Robur Pacificfond SEK 2005-05-31 1 1 17,74 17,74 17,74 17,74 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-01 1 1 17,8 17,8 17,8 17,8 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-02 1 1 17,85 17,85 17,85 17,85 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-03 1 1 17,94 17,94 17,94 17,94 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-07 1 1 17,98 17,98 17,98 17,98 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-08 1 1 18,03 18,03 18,03 18,03 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-09 1 1 18,21 18,21 18,21 18,21 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-10 1 1 18,49 18,49 18,49 18,49 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-13 1 1 18,74 18,74 18,74 18,74 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-14 1 1 18,64 18,64 18,64 18,64 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-15 1 1 18,75 18,75 18,75 18,75 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-16 1 1 18,78 18,78 18,78 18,78 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-17 1 1 18,55 18,55 18,55 18,55 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-20 1 1 18,61 18,61 18,61 18,61 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-21 1 1 18,66 18,66 18,66 18,66 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-22 1 1 18,96 18,96 18,96 18,96 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-23 1 1 19,34 19,34 19,34 19,34 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-27 1 1 18,93 18,93 18,93 18,93 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-28 1 1 19,11 19,11 19,11 19,11 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-29 1 1 19,11 19,11 19,11 19,11 104257 Robur Fonder AB Robur Pacificfond SEK 2005-06-30 1 1 19,02 19,02 19,02 19,02 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-01 1 1 19,3 19,3 19,3 19,3 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-04 1 1 19,38 19,38 19,38 19,38 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-05 1 1 19,08 19,08 19,08 19,08 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-06 1 1 19,06 19,06 19,06 19,06 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-07 1 1 19,05 19,05 19,05 19,05 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-08 1 1 19,03 19,03 19,03 19,03 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-11 1 1 19,27 19,27 19,27 19,27 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-12 1 1 19,03 19,03 19,03 19,03 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-13 1 1 19,14 19,14 19,14 19,14 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-14 1 1 19,36 19,36 19,36 19,36 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-15 1 1 19,36 19,36 19,36 19,36 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-18 1 1 19,41 19,41 19,41 19,41 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-19 1 1 19,62 19,62 19,62 19,62 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-20 1 1 19,7 19,7 19,7 19,7 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-21 1 1 19,63 19,63 19,63 19,63 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-22 1 1 19,79 19,79 19,79 19,79 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-25 1 1 19,88 19,88 19,88 19,88 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-26 1 1 19,82 19,82 19,82 19,82 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-27 1 1 19,79 19,79 19,79 19,79 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-28 1 1 19,71 19,71 19,71 19,71 104257 Robur Fonder AB Robur Pacificfond SEK 2005-07-29 1 1 19,75 19,75 19,75 19,75 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-01 1 1 19,69 19,69 19,69 19,69 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-02 1 1 19,8 19,8 19,8 19,8 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-03 1 1 19,79 19,79 19,79 19,79 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-04 1 1 19,63 19,63 19,63 19,63 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-05 1 1 19,47 19,47 19,47 19,47 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-08 1 1 19,42 19,42 19,42 19,42 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-09 1 1 19,46 19,46 19,46 19,46 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-10 1 1 19,49 19,49 19,49 19,49 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-11 1 1 19,43 19,43 19,43 19,43 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-12 1 1 19,47 19,47 19,47 19,47 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-15 1 1 19,41 19,41 19,41 19,41 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-16 1 1 19,38 19,38 19,38 19,38 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-17 1 1 19,39 19,39 19,39 19,39 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-18 1 1 19,28 19,28 19,28 19,28 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-19 1 1 19,24 19,24 19,24 19,24 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-22 1 1 19,38 19,38 19,38 19,38 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-23 1 1 19,26 19,26 19,26 19,26 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-24 1 1 18,86 18,86 18,86 18,86 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-25 1 1 18,88 18,88 18,88 18,88 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-26 1 1 18,8 18,8 18,8 18,8 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-29 1 1 18,54 18,54 18,54 18,54 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-30 1 1 18,73 18,73 18,73 18,73 104257 Robur Fonder AB Robur Pacificfond SEK 2005-08-31 1 1 18,68 18,68 18,68 18,68 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-01 1 1 18,65 18,65 18,65 18,65 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-02 1 1 18,61 18,61 18,61 18,61 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-05 1 1 18,57 18,57 18,57 18,57 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-06 1 1 18,68 18,68 18,68 18,68 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-07 1 1 18,91 18,91 18,91 18,91 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-08 1 1 19 19 19 19 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-09 1 1 19,04 19,04 19,04 19,04 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-12 1 1 19,34 19,34 19,34 19,34 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-13 1 1 19,4 19,4 19,4 19,4 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-14 1 1 19,41 19,41 19,41 19,41 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-15 1 1 19,52 19,52 19,52 19,52 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-16 1 1 19,44 19,44 19,44 19,44 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-19 1 1 19,44 19,44 19,44 19,44 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-20 1 1 19,74 19,74 19,74 19,74 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-21 1 1 19,62 19,62 19,62 19,62 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-22 1 1 19,57 19,57 19,57 19,57 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-23 1 1 19,6 19,6 19,6 19,6 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-26 1 1 19,82 19,82 19,82 19,82 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-27 1 1 19,85 19,85 19,85 19,85 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-28 1 1 19,89 19,89 19,89 19,89 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-29 1 1 20,01 20,01 20,01 20,01 104257 Robur Fonder AB Robur Pacificfond SEK 2005-09-30 1 1 20,01 20,01 20,01 20,01 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-03 1 1 20,11 20,11 20,11 20,11 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-04 1 1 20,21 20,21 20,21 20,21 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-05 1 1 20,02 20,02 20,02 20,02 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-06 1 1 19,35 19,35 19,35 19,35 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-07 1 1 19,47 19,47 19,47 19,47 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-10 1 1 19,71 19,71 19,71 19,71 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-11 1 1 19,81 19,81 19,81 19,81 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-12 1 1 19,41 19,41 19,41 19,41 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-13 1 1 19,4 19,4 19,4 19,4 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-14 1 1 19,28 19,28 19,28 19,28 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-17 1 1 19,08 19,08 19,08 19,08 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-18 1 1 19,28 19,28 19,28 19,28 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-19 1 1 18,77 18,77 18,77 18,77 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-20 1 1 18,91 18,91 18,91 18,91 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-21 1 1 18,92 18,92 18,92 18,92 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-24 1 1 19,07 19,07 19,07 19,07 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-25 1 1 18,84 18,84 18,84 18,84 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-26 1 1 18,89 18,89 18,89 18,89 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-27 1 1 18,69 18,69 18,69 18,69 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-28 1 1 18,49 18,49 18,49 18,49 104257 Robur Fonder AB Robur Pacificfond SEK 2005-10-31 1 1 19,01 19,01 19,01 19,01 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-01 1 1 19,5 19,5 19,5 19,5 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-02 1 1 19,71 19,71 19,71 19,71 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-03 1 1 19,84 19,84 19,84 19,84 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-04 1 1 19,93 19,93 19,93 19,93 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-07 1 1 20 20 20 20 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-08 1 1 19,89 19,89 19,89 19,89 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-09 1 1 20,2 20,2 20,2 20,2 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-10 1 1 20,28 20,28 20,28 20,28 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-11 1 1 20,45 20,45 20,45 20,45 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-14 1 1 20,43 20,43 20,43 20,43 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-15 1 1 20,48 20,48 20,48 20,48 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-16 1 1 20,56 20,56 20,56 20,56 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-17 1 1 20,51 20,51 20,51 20,51 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-18 1 1 20,47 20,47 20,47 20,47 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-21 1 1 20,25 20,25 20,25 20,25 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-22 1 1 20,23 20,23 20,23 20,23 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-23 1 1 20,32 20,32 20,32 20,32 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-24 1 1 20,38 20,38 20,38 20,38 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-25 1 1 20,29 20,29 20,29 20,29 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-28 1 1 20,47 20,47 20,47 20,47 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-29 1 1 20,3 20,3 20,3 20,3 104257 Robur Fonder AB Robur Pacificfond SEK 2005-11-30 1 1 20,53 20,53 20,53 20,53 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-01 1 1 20,67 20,67 20,67 20,67 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-02 1 1 20,76 20,76 20,76 20,76 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-05 1 1 20,74 20,74 20,74 20,74 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-06 1 1 20,63 20,63 20,63 20,63 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-07 1 1 20,87 20,87 20,87 20,87 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-08 1 1 20,65 20,65 20,65 20,65 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-12 1 1 20,16 20,16 20,16 20,16 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-13 1 1 20,24 20,24 20,24 20,24 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-14 1 1 20,09 20,09 20,09 20,09 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-15 1 1 20,16 20,16 20,16 20,16 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-16 1 1 20,17 20,17 20,17 20,17 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-19 1 1 20,29 20,29 20,29 20,29 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-20 1 1 20,37 20,37 20,37 20,37 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-21 1 1 20,7 20,7 20,7 20,7 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-22 1 1 20,66 20,66 20,66 20,66 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-23 1 1 20,84 20,84 20,84 20,84 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-27 1 1 20,98 20,98 20,98 20,98 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-28 1 1 20,61 20,61 20,61 20,61 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-29 1 1 20,89 20,89 20,89 20,89 104257 Robur Fonder AB Robur Pacificfond SEK 2005-12-30 1 1 20,85 20,85 20,85 20,85 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-03 1 1 100,16 100,16 100,16 100,16 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-04 1 1 100,17 100,17 100,17 100,17 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-05 1 1 100,18 100,18 100,18 100,18 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-07 1 1 100,19 100,19 100,19 100,19 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-10 1 1 100,19 100,19 100,19 100,19 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-11 1 1 100,2 100,2 100,2 100,2 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-12 1 1 100,21 100,21 100,21 100,21 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-13 1 1 100,22 100,22 100,22 100,22 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-14 1 1 100,23 100,23 100,23 100,23 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-17 1 1 100,23 100,23 100,23 100,23 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-18 1 1 100,24 100,24 100,24 100,24 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-19 1 1 100,25 100,25 100,25 100,25 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-20 1 1 100,26 100,26 100,26 100,26 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-21 1 1 100,27 100,27 100,27 100,27 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-24 1 1 100,27 100,27 100,27 100,27 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-25 1 1 100,28 100,28 100,28 100,28 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-26 1 1 100,29 100,29 100,29 100,29 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-27 1 1 100,3 100,3 100,3 100,3 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-28 1 1 100,31 100,31 100,31 100,31 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-01-31 1 1 100,31 100,31 100,31 100,31 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-01 1 1 100,32 100,32 100,32 100,32 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-02 1 1 100,33 100,33 100,33 100,33 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-03 1 1 100,34 100,34 100,34 100,34 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-04 1 1 100,34 100,34 100,34 100,34 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-07 1 1 100,35 100,35 100,35 100,35 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-08 1 1 100,35 100,35 100,35 100,35 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-09 1 1 100,36 100,36 100,36 100,36 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-10 1 1 100,37 100,37 100,37 100,37 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-11 1 1 100,38 100,38 100,38 100,38 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-14 1 1 100,38 100,38 100,38 100,38 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-15 1 1 100,38 100,38 100,38 100,38 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-16 1 1 100,4 100,4 100,4 100,4 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-17 1 1 100,41 100,41 100,41 100,41 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-18 1 1 100,41 100,41 100,41 100,41 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-21 1 1 100,41 100,41 100,41 100,41 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-22 1 1 100,41 100,41 100,41 100,41 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-23 1 1 100,42 100,42 100,42 100,42 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-24 1 1 100,43 100,43 100,43 100,43 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-25 1 1 100,44 100,44 100,44 100,44 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-02-28 1 1 100,44 100,44 100,44 100,44 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-01 1 1 100,45 100,45 100,45 100,45 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-02 1 1 100,45 100,45 100,45 100,45 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-03 1 1 100,47 100,47 100,47 100,47 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-04 1 1 100,48 100,48 100,48 100,48 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-07 1 1 100,49 100,49 100,49 100,49 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-08 1 1 100,5 100,5 100,5 100,5 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-09 1 1 100,52 100,52 100,52 100,52 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-10 1 1 100,53 100,53 100,53 100,53 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-11 1 1 100,52 100,52 100,52 100,52 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-14 1 1 100,52 100,52 100,52 100,52 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-15 1 1 100,53 100,53 100,53 100,53 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-16 1 1 100,53 100,53 100,53 100,53 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-17 1 1 100,54 100,54 100,54 100,54 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-18 1 1 100,54 100,54 100,54 100,54 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-21 1 1 100,54 100,54 100,54 100,54 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-22 1 1 100,56 100,56 100,56 100,56 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-23 1 1 100,57 100,57 100,57 100,57 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-24 1 1 100,58 100,58 100,58 100,58 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-29 1 1 100,57 100,57 100,57 100,57 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-30 1 1 100,6 100,6 100,6 100,6 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-03-31 1 1 100,61 100,61 100,61 100,61 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-01 1 1 100,62 100,62 100,62 100,62 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-04 1 1 100,63 100,63 100,63 100,63 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-05 1 1 100,63 100,63 100,63 100,63 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-06 1 1 100,64 100,64 100,64 100,64 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-07 1 1 100,65 100,65 100,65 100,65 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-08 1 1 100,65 100,65 100,65 100,65 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-11 1 1 100,65 100,65 100,65 100,65 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-12 1 1 100,66 100,66 100,66 100,66 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-13 1 1 100,67 100,67 100,67 100,67 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-14 1 1 100,7 100,7 100,7 100,7 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-15 1 1 100,71 100,71 100,71 100,71 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-18 1 1 100,72 100,72 100,72 100,72 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-19 1 1 100,72 100,72 100,72 100,72 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-20 1 1 100,74 100,74 100,74 100,74 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-21 1 1 100,75 100,75 100,75 100,75 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-22 1 1 100,75 100,75 100,75 100,75 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-25 1 1 100,75 100,75 100,75 100,75 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-26 1 1 100,76 100,76 100,76 100,76 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-27 1 1 100,8 100,8 100,8 100,8 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-28 1 1 100,82 100,82 100,82 100,82 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-04-29 1 1 100,84 100,84 100,84 100,84 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-02 1 1 100,85 100,85 100,85 100,85 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-03 1 1 100,88 100,88 100,88 100,88 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-04 1 1 100,88 100,88 100,88 100,88 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-06 1 1 100,88 100,88 100,88 100,88 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-09 1 1 100,88 100,88 100,88 100,88 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-10 1 1 100,9 100,9 100,9 100,9 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-11 1 1 100,92 100,92 100,92 100,92 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-12 1 1 100,93 100,93 100,93 100,93 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-13 1 1 100,94 100,94 100,94 100,94 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-16 1 1 100,94 100,94 100,94 100,94 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-17 1 1 100,94 100,94 100,94 100,94 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-18 1 1 100,97 100,97 100,97 100,97 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-19 1 1 100,98 100,98 100,98 100,98 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-20 1 1 100,98 100,98 100,98 100,98 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-23 1 1 100,98 100,98 100,98 100,98 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-24 1 1 100,99 100,99 100,99 100,99 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-25 1 1 100,99 100,99 100,99 100,99 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-26 1 1 101 101 101 101 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-27 1 1 101,02 101,02 101,02 101,02 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-30 1 1 101 101 101 101 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-05-31 1 1 101,01 101,01 101,01 101,01 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-01 1 1 101,03 101,03 101,03 101,03 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-02 1 1 101,04 101,04 101,04 101,04 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-03 1 1 101,05 101,05 101,05 101,05 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-07 1 1 101,05 101,05 101,05 101,05 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-08 1 1 101,06 101,06 101,06 101,06 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-09 1 1 101,09 101,09 101,09 101,09 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-10 1 1 101,11 101,11 101,11 101,11 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-13 1 1 101,11 101,11 101,11 101,11 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-14 1 1 101,11 101,11 101,11 101,11 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-15 1 1 101,12 101,12 101,12 101,12 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-16 1 1 101,15 101,15 101,15 101,15 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-17 1 1 101,16 101,16 101,16 101,16 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-20 1 1 101,16 101,16 101,16 101,16 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-21 1 1 101,23 101,23 101,23 101,23 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-22 1 1 101,26 101,26 101,26 101,26 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-23 1 1 101,25 101,25 101,25 101,25 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-27 1 1 101,25 101,25 101,25 101,25 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-28 1 1 101,25 101,25 101,25 101,25 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-29 1 1 101,26 101,26 101,26 101,26 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-06-30 1 1 101,26 101,26 101,26 101,26 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-01 1 1 101,27 101,27 101,27 101,27 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-04 1 1 101,25 101,25 101,25 101,25 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-05 1 1 101,25 101,25 101,25 101,25 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-06 1 1 101,26 101,26 101,26 101,26 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-07 1 1 101,29 101,29 101,29 101,29 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-08 1 1 101,29 101,29 101,29 101,29 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-11 1 1 101,28 101,28 101,28 101,28 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-12 1 1 101,28 101,28 101,28 101,28 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-13 1 1 101,28 101,28 101,28 101,28 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-14 1 1 101,29 101,29 101,29 101,29 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-15 1 1 101,29 101,29 101,29 101,29 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-18 1 1 101,29 101,29 101,29 101,29 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-19 1 1 101,3 101,3 101,3 101,3 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-20 1 1 101,31 101,31 101,31 101,31 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-21 1 1 101,31 101,31 101,31 101,31 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-22 1 1 101,32 101,32 101,32 101,32 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-25 1 1 101,32 101,32 101,32 101,32 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-26 1 1 101,32 101,32 101,32 101,32 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-27 1 1 101,33 101,33 101,33 101,33 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-28 1 1 101,33 101,33 101,33 101,33 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-07-29 1 1 101,31 101,31 101,31 101,31 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-01 1 1 101,29 101,29 101,29 101,29 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-02 1 1 101,28 101,28 101,28 101,28 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-03 1 1 101,28 101,28 101,28 101,28 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-04 1 1 101,3 101,3 101,3 101,3 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-05 1 1 101,28 101,28 101,28 101,28 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-08 1 1 101,28 101,28 101,28 101,28 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-09 1 1 101,29 101,29 101,29 101,29 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-10 1 1 101,3 101,3 101,3 101,3 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-11 1 1 101,31 101,31 101,31 101,31 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-12 1 1 101,31 101,31 101,31 101,31 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-15 1 1 101,31 101,31 101,31 101,31 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-16 1 1 101,31 101,31 101,31 101,31 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-17 1 1 101,32 101,32 101,32 101,32 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-18 1 1 101,32 101,32 101,32 101,32 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-19 1 1 101,32 101,32 101,32 101,32 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-22 1 1 101,32 101,32 101,32 101,32 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-23 1 1 101,33 101,33 101,33 101,33 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-24 1 1 101,33 101,33 101,33 101,33 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-25 1 1 101,34 101,34 101,34 101,34 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-26 1 1 101,34 101,34 101,34 101,34 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-29 1 1 101,33 101,33 101,33 101,33 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-30 1 1 101,34 101,34 101,34 101,34 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-08-31 1 1 101,35 101,35 101,35 101,35 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-01 1 1 101,36 101,36 101,36 101,36 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-02 1 1 101,37 101,37 101,37 101,37 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-05 1 1 101,37 101,37 101,37 101,37 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-06 1 1 101,37 101,37 101,37 101,37 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-07 1 1 101,39 101,39 101,39 101,39 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-08 1 1 101,39 101,39 101,39 101,39 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-09 1 1 101,4 101,4 101,4 101,4 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-12 1 1 101,39 101,39 101,39 101,39 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-13 1 1 101,39 101,39 101,39 101,39 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-14 1 1 101,4 101,4 101,4 101,4 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-15 1 1 101,41 101,41 101,41 101,41 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-16 1 1 101,41 101,41 101,41 101,41 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-19 1 1 101,41 101,41 101,41 101,41 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-20 1 1 101,42 101,42 101,42 101,42 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-21 1 1 101,43 101,43 101,43 101,43 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-22 1 1 101,44 101,44 101,44 101,44 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-23 1 1 101,43 101,43 101,43 101,43 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-26 1 1 101,43 101,43 101,43 101,43 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-27 1 1 101,44 101,44 101,44 101,44 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-28 1 1 101,44 101,44 101,44 101,44 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-29 1 1 101,44 101,44 101,44 101,44 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-09-30 1 1 101,44 101,44 101,44 101,44 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-03 1 1 101,42 101,42 101,42 101,42 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-04 1 1 101,43 101,43 101,43 101,43 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-05 1 1 101,44 101,44 101,44 101,44 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-06 1 1 101,45 101,45 101,45 101,45 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-07 1 1 101,45 101,45 101,45 101,45 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-10 1 1 101,45 101,45 101,45 101,45 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-11 1 1 101,45 101,45 101,45 101,45 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-12 1 1 101,46 101,46 101,46 101,46 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-13 1 1 101,48 101,48 101,48 101,48 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-14 1 1 101,48 101,48 101,48 101,48 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-17 1 1 101,48 101,48 101,48 101,48 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-18 1 1 101,48 101,48 101,48 101,48 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-19 1 1 101,49 101,49 101,49 101,49 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-20 1 1 101,51 101,51 101,51 101,51 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-21 1 1 101,51 101,51 101,51 101,51 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-24 1 1 101,51 101,51 101,51 101,51 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-25 1 1 101,51 101,51 101,51 101,51 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-26 1 1 101,52 101,52 101,52 101,52 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-27 1 1 101,53 101,53 101,53 101,53 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-28 1 1 101,53 101,53 101,53 101,53 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-10-31 1 1 101,53 101,53 101,53 101,53 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-01 1 1 101,54 101,54 101,54 101,54 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-02 1 1 101,55 101,55 101,55 101,55 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-03 1 1 101,55 101,55 101,55 101,55 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-04 1 1 101,55 101,55 101,55 101,55 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-07 1 1 101,55 101,55 101,55 101,55 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-08 1 1 101,56 101,56 101,56 101,56 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-09 1 1 101,57 101,57 101,57 101,57 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-10 1 1 101,58 101,58 101,58 101,58 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-11 1 1 101,58 101,58 101,58 101,58 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-14 1 1 101,57 101,57 101,57 101,57 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-15 1 1 101,58 101,58 101,58 101,58 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-16 1 1 101,58 101,58 101,58 101,58 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-17 1 1 101,6 101,6 101,6 101,6 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-18 1 1 101,61 101,61 101,61 101,61 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-21 1 1 101,59 101,59 101,59 101,59 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-22 1 1 101,6 101,6 101,6 101,6 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-23 1 1 101,61 101,61 101,61 101,61 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-24 1 1 101,62 101,62 101,62 101,62 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-25 1 1 101,63 101,63 101,63 101,63 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-28 1 1 101,63 101,63 101,63 101,63 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-29 1 1 101,63 101,63 101,63 101,63 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-11-30 1 1 101,64 101,64 101,64 101,64 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-01 1 1 101,64 101,64 101,64 101,64 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-02 1 1 98,86 98,86 98,86 98,86 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-05 1 1 98,85 98,85 98,85 98,85 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-06 1 1 98,85 98,85 98,85 98,85 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-07 1 1 98,86 98,86 98,86 98,86 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-08 1 1 98,86 98,86 98,86 98,86 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-12 1 1 98,86 98,86 98,86 98,86 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-13 1 1 98,87 98,87 98,87 98,87 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-14 1 1 98,89 98,89 98,89 98,89 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-15 1 1 98,89 98,89 98,89 98,89 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-16 1 1 98,89 98,89 98,89 98,89 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-19 1 1 98,9 98,9 98,9 98,9 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-20 1 1 98,9 98,9 98,9 98,9 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-21 1 1 98,91 98,91 98,91 98,91 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-22 1 1 98,92 98,92 98,92 98,92 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-23 1 1 98,92 98,92 98,92 98,92 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-27 1 1 98,92 98,92 98,92 98,92 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-28 1 1 98,93 98,93 98,93 98,93 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-29 1 1 98,93 98,93 98,93 98,93 717611 Robur Fonder AB Robur Penningmarknadsfond SEK 2005-12-30 1 1 98,94 98,94 98,94 98,94 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-03 1 1 15,25 15,25 15,25 15,25 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-04 1 1 15,3 15,3 15,3 15,3 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-05 1 1 15,16 15,16 15,16 15,16 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-07 1 1 15,28 15,28 15,28 15,28 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-10 1 1 15,33 15,33 15,33 15,33 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-11 1 1 15,29 15,29 15,29 15,29 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-12 1 1 15,26 15,26 15,26 15,26 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-13 1 1 15,31 15,31 15,31 15,31 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-14 1 1 15,44 15,44 15,44 15,44 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-17 1 1 15,47 15,47 15,47 15,47 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-18 1 1 15,47 15,47 15,47 15,47 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-19 1 1 15,58 15,58 15,58 15,58 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-20 1 1 15,54 15,54 15,54 15,54 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-21 1 1 15,48 15,48 15,48 15,48 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-24 1 1 15,41 15,41 15,41 15,41 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-25 1 1 15,48 15,48 15,48 15,48 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-26 1 1 15,44 15,44 15,44 15,44 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-27 1 1 15,45 15,45 15,45 15,45 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-28 1 1 15,46 15,46 15,46 15,46 968420 Robur Fonder AB Robur Realinvest SEK 2005-01-31 1 1 15,47 15,47 15,47 15,47 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-01 1 1 15,43 15,43 15,43 15,43 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-02 1 1 15,52 15,52 15,52 15,52 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-03 1 1 15,58 15,58 15,58 15,58 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-04 1 1 15,6 15,6 15,6 15,6 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-07 1 1 15,69 15,69 15,69 15,69 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-08 1 1 15,69 15,69 15,69 15,69 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-09 1 1 15,68 15,68 15,68 15,68 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-10 1 1 15,68 15,68 15,68 15,68 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-11 1 1 15,69 15,69 15,69 15,69 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-14 1 1 15,75 15,75 15,75 15,75 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-15 1 1 15,81 15,81 15,81 15,81 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-16 1 1 15,79 15,79 15,79 15,79 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-17 1 1 15,85 15,85 15,85 15,85 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-18 1 1 15,85 15,85 15,85 15,85 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-21 1 1 15,84 15,84 15,84 15,84 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-22 1 1 15,65 15,65 15,65 15,65 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-23 1 1 15,68 15,68 15,68 15,68 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-24 1 1 15,68 15,68 15,68 15,68 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-25 1 1 15,75 15,75 15,75 15,75 968420 Robur Fonder AB Robur Realinvest SEK 2005-02-28 1 1 15,89 15,89 15,89 15,89 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-01 1 1 15,87 15,87 15,87 15,87 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-02 1 1 15,91 15,91 15,91 15,91 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-03 1 1 15,91 15,91 15,91 15,91 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-04 1 1 15,94 15,94 15,94 15,94 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-07 1 1 16,02 16,02 16,02 16,02 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-08 1 1 16,03 16,03 16,03 16,03 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-09 1 1 15,91 15,91 15,91 15,91 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-10 1 1 15,77 15,77 15,77 15,77 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-11 1 1 15,79 15,79 15,79 15,79 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-14 1 1 15,82 15,82 15,82 15,82 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-15 1 1 15,97 15,97 15,97 15,97 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-16 1 1 15,91 15,91 15,91 15,91 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-17 1 1 15,97 15,97 15,97 15,97 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-18 1 1 16,06 16,06 16,06 16,06 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-21 1 1 16,2 16,2 16,2 16,2 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-22 1 1 16,29 16,29 16,29 16,29 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-23 1 1 16,19 16,19 16,19 16,19 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-24 1 1 16,27 16,27 16,27 16,27 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-29 1 1 16,27 16,27 16,27 16,27 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-30 1 1 16,26 16,26 16,26 16,26 968420 Robur Fonder AB Robur Realinvest SEK 2005-03-31 1 1 16,4 16,4 16,4 16,4 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-01 1 1 16,54 16,54 16,54 16,54 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-04 1 1 16,58 16,58 16,58 16,58 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-05 1 1 16,75 16,75 16,75 16,75 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-06 1 1 16,81 16,81 16,81 16,81 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-07 1 1 16,83 16,83 16,83 16,83 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-08 1 1 16,94 16,94 16,94 16,94 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-11 1 1 16,91 16,91 16,91 16,91 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-12 1 1 16,94 16,94 16,94 16,94 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-13 1 1 17,12 17,12 17,12 17,12 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-14 1 1 17,14 17,14 17,14 17,14 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-15 1 1 16,87 16,87 16,87 16,87 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-18 1 1 16,71 16,71 16,71 16,71 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-19 1 1 16,96 16,96 16,96 16,96 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-20 1 1 17,05 17,05 17,05 17,05 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-21 1 1 17,07 17,07 17,07 17,07 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-22 1 1 17,07 17,07 17,07 17,07 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-25 1 1 17,28 17,28 17,28 17,28 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-26 1 1 17,32 17,32 17,32 17,32 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-27 1 1 17,21 17,21 17,21 17,21 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-28 1 1 17,22 17,22 17,22 17,22 968420 Robur Fonder AB Robur Realinvest SEK 2005-04-29 1 1 17,37 17,37 17,37 17,37 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-02 1 1 17,49 17,49 17,49 17,49 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-03 1 1 17,44 17,44 17,44 17,44 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-04 1 1 17,33 17,33 17,33 17,33 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-06 1 1 17,45 17,45 17,45 17,45 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-09 1 1 17,53 17,53 17,53 17,53 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-10 1 1 17,47 17,47 17,47 17,47 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-11 1 1 17,59 17,59 17,59 17,59 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-12 1 1 17,72 17,72 17,72 17,72 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-13 1 1 17,71 17,71 17,71 17,71 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-16 1 1 17,77 17,77 17,77 17,77 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-17 1 1 17,75 17,75 17,75 17,75 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-18 1 1 17,83 17,83 17,83 17,83 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-19 1 1 17,91 17,91 17,91 17,91 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-20 1 1 17,99 17,99 17,99 17,99 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-23 1 1 18,14 18,14 18,14 18,14 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-24 1 1 18,23 18,23 18,23 18,23 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-25 1 1 18,28 18,28 18,28 18,28 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-26 1 1 18,36 18,36 18,36 18,36 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-27 1 1 18,46 18,46 18,46 18,46 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-30 1 1 18,59 18,59 18,59 18,59 968420 Robur Fonder AB Robur Realinvest SEK 2005-05-31 1 1 18,68 18,68 18,68 18,68 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-01 1 1 18,78 18,78 18,78 18,78 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-02 1 1 18,7 18,7 18,7 18,7 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-03 1 1 18,94 18,94 18,94 18,94 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-07 1 1 19,11 19,11 19,11 19,11 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-08 1 1 19,27 19,27 19,27 19,27 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-09 1 1 19,22 19,22 19,22 19,22 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-10 1 1 19,4 19,4 19,4 19,4 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-13 1 1 19,8 19,8 19,8 19,8 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-14 1 1 19,88 19,88 19,88 19,88 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-15 1 1 19,89 19,89 19,89 19,89 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-16 1 1 19,73 19,73 19,73 19,73 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-17 1 1 19,63 19,63 19,63 19,63 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-20 1 1 19,76 19,76 19,76 19,76 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-21 1 1 19,82 19,82 19,82 19,82 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-22 1 1 19,88 19,88 19,88 19,88 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-23 1 1 20,06 20,06 20,06 20,06 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-27 1 1 19,82 19,82 19,82 19,82 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-28 1 1 20,01 20,01 20,01 20,01 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-29 1 1 20,14 20,14 20,14 20,14 968420 Robur Fonder AB Robur Realinvest SEK 2005-06-30 1 1 20,15 20,15 20,15 20,15 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-01 1 1 20,21 20,21 20,21 20,21 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-04 1 1 20,4 20,4 20,4 20,4 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-05 1 1 20,51 20,51 20,51 20,51 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-06 1 1 20,48 20,48 20,48 20,48 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-07 1 1 20,34 20,34 20,34 20,34 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-08 1 1 20,52 20,52 20,52 20,52 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-11 1 1 20,85 20,85 20,85 20,85 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-12 1 1 20,84 20,84 20,84 20,84 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-13 1 1 20,86 20,86 20,86 20,86 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-14 1 1 20,9 20,9 20,9 20,9 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-15 1 1 20,89 20,89 20,89 20,89 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-18 1 1 20,9 20,9 20,9 20,9 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-19 1 1 20,96 20,96 20,96 20,96 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-20 1 1 20,79 20,79 20,79 20,79 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-21 1 1 20,69 20,69 20,69 20,69 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-22 1 1 20,79 20,79 20,79 20,79 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-25 1 1 20,81 20,81 20,81 20,81 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-26 1 1 20,88 20,88 20,88 20,88 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-27 1 1 21,01 21,01 21,01 21,01 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-28 1 1 20,99 20,99 20,99 20,99 968420 Robur Fonder AB Robur Realinvest SEK 2005-07-29 1 1 21,04 21,04 21,04 21,04 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-01 1 1 21,11 21,11 21,11 21,11 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-02 1 1 21,12 21,12 21,12 21,12 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-03 1 1 21,03 21,03 21,03 21,03 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-04 1 1 20,89 20,89 20,89 20,89 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-05 1 1 20,7 20,7 20,7 20,7 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-08 1 1 20,52 20,52 20,52 20,52 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-09 1 1 20,4 20,4 20,4 20,4 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-10 1 1 20,13 20,13 20,13 20,13 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-11 1 1 19,55 19,55 19,55 19,55 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-12 1 1 19,64 19,64 19,64 19,64 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-15 1 1 19,55 19,55 19,55 19,55 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-16 1 1 19,81 19,81 19,81 19,81 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-17 1 1 19,76 19,76 19,76 19,76 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-18 1 1 19,69 19,69 19,69 19,69 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-19 1 1 19,72 19,72 19,72 19,72 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-22 1 1 19,72 19,72 19,72 19,72 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-23 1 1 19,56 19,56 19,56 19,56 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-24 1 1 19,19 19,19 19,19 19,19 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-25 1 1 19,24 19,24 19,24 19,24 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-26 1 1 19,17 19,17 19,17 19,17 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-29 1 1 19,03 19,03 19,03 19,03 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-30 1 1 19,13 19,13 19,13 19,13 968420 Robur Fonder AB Robur Realinvest SEK 2005-08-31 1 1 19,18 19,18 19,18 19,18 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-01 1 1 19,3 19,3 19,3 19,3 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-02 1 1 19,21 19,21 19,21 19,21 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-05 1 1 19,26 19,26 19,26 19,26 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-06 1 1 19,48 19,48 19,48 19,48 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-07 1 1 19,54 19,54 19,54 19,54 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-08 1 1 19,43 19,43 19,43 19,43 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-09 1 1 19,5 19,5 19,5 19,5 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-12 1 1 19,48 19,48 19,48 19,48 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-13 1 1 19,43 19,43 19,43 19,43 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-14 1 1 19,6 19,6 19,6 19,6 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-15 1 1 19,63 19,63 19,63 19,63 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-16 1 1 19,64 19,64 19,64 19,64 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-19 1 1 19,77 19,77 19,77 19,77 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-20 1 1 19,83 19,83 19,83 19,83 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-21 1 1 19,68 19,68 19,68 19,68 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-22 1 1 19,6 19,6 19,6 19,6 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-23 1 1 19,77 19,77 19,77 19,77 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-26 1 1 19,92 19,92 19,92 19,92 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-27 1 1 19,91 19,91 19,91 19,91 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-28 1 1 19,97 19,97 19,97 19,97 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-29 1 1 19,96 19,96 19,96 19,96 968420 Robur Fonder AB Robur Realinvest SEK 2005-09-30 1 1 20,02 20,02 20,02 20,02 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-03 1 1 20,02 20,02 20,02 20,02 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-04 1 1 19,86 19,86 19,86 19,86 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-05 1 1 19,57 19,57 19,57 19,57 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-06 1 1 19,29 19,29 19,29 19,29 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-07 1 1 19,32 19,32 19,32 19,32 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-10 1 1 19,34 19,34 19,34 19,34 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-11 1 1 19,5 19,5 19,5 19,5 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-12 1 1 19,38 19,38 19,38 19,38 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-13 1 1 19,21 19,21 19,21 19,21 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-14 1 1 19,25 19,25 19,25 19,25 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-17 1 1 19,33 19,33 19,33 19,33 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-18 1 1 19,42 19,42 19,42 19,42 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-19 1 1 19,15 19,15 19,15 19,15 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-20 1 1 19,34 19,34 19,34 19,34 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-21 1 1 19,22 19,22 19,22 19,22 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-24 1 1 19,47 19,47 19,47 19,47 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-25 1 1 19,44 19,44 19,44 19,44 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-26 1 1 19,43 19,43 19,43 19,43 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-27 1 1 19,31 19,31 19,31 19,31 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-28 1 1 19,27 19,27 19,27 19,27 968420 Robur Fonder AB Robur Realinvest SEK 2005-10-31 1 1 19,58 19,58 19,58 19,58 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-01 1 1 19,66 19,66 19,66 19,66 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-02 1 1 19,64 19,64 19,64 19,64 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-03 1 1 19,8 19,8 19,8 19,8 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-04 1 1 19,9 19,9 19,9 19,9 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-07 1 1 20,04 20,04 20,04 20,04 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-08 1 1 20,15 20,15 20,15 20,15 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-09 1 1 20,1 20,1 20,1 20,1 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-10 1 1 20,25 20,25 20,25 20,25 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-11 1 1 20,47 20,47 20,47 20,47 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-14 1 1 20,41 20,41 20,41 20,41 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-15 1 1 20,36 20,36 20,36 20,36 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-16 1 1 20,41 20,41 20,41 20,41 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-17 1 1 20,66 20,66 20,66 20,66 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-18 1 1 20,66 20,66 20,66 20,66 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-21 1 1 20,5 20,5 20,5 20,5 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-22 1 1 20,68 20,68 20,68 20,68 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-23 1 1 20,72 20,72 20,72 20,72 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-24 1 1 20,69 20,69 20,69 20,69 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-25 1 1 20,83 20,83 20,83 20,83 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-28 1 1 20,7 20,7 20,7 20,7 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-29 1 1 20,76 20,76 20,76 20,76 968420 Robur Fonder AB Robur Realinvest SEK 2005-11-30 1 1 20,71 20,71 20,71 20,71 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-01 1 1 20,88 20,88 20,88 20,88 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-02 1 1 20,95 20,95 20,95 20,95 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-05 1 1 20,92 20,92 20,92 20,92 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-06 1 1 20,82 20,82 20,82 20,82 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-07 1 1 20,77 20,77 20,77 20,77 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-08 1 1 20,73 20,73 20,73 20,73 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-12 1 1 20,18 20,18 20,18 20,18 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-13 1 1 20,19 20,19 20,19 20,19 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-14 1 1 20,26 20,26 20,26 20,26 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-15 1 1 20,31 20,31 20,31 20,31 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-16 1 1 20,36 20,36 20,36 20,36 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-19 1 1 20,4 20,4 20,4 20,4 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-20 1 1 20,43 20,43 20,43 20,43 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-21 1 1 20,63 20,63 20,63 20,63 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-22 1 1 20,64 20,64 20,64 20,64 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-23 1 1 20,78 20,78 20,78 20,78 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-27 1 1 20,86 20,86 20,86 20,86 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-28 1 1 20,77 20,77 20,77 20,77 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-29 1 1 20,87 20,87 20,87 20,87 968420 Robur Fonder AB Robur Realinvest SEK 2005-12-30 1 1 20,84 20,84 20,84 20,84 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-03 1 1 116,27 116,27 116,27 116,27 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-04 1 1 116,31 116,31 116,31 116,31 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-05 1 1 116,09 116,09 116,09 116,09 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-07 1 1 116,71 116,71 116,71 116,71 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-10 1 1 116,79 116,79 116,79 116,79 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-11 1 1 116,83 116,83 116,83 116,83 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-12 1 1 116,78 116,78 116,78 116,78 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-13 1 1 117,23 117,23 117,23 117,23 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-14 1 1 117,31 117,31 117,31 117,31 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-17 1 1 117,36 117,36 117,36 117,36 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-18 1 1 117,31 117,31 117,31 117,31 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-19 1 1 117,66 117,66 117,66 117,66 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-20 1 1 117,44 117,44 117,44 117,44 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-21 1 1 117,49 117,49 117,49 117,49 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-24 1 1 117,7 117,7 117,7 117,7 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-25 1 1 117,8 117,8 117,8 117,8 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-26 1 1 117,69 117,69 117,69 117,69 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-27 1 1 117,62 117,62 117,62 117,62 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-28 1 1 117,94 117,94 117,94 117,94 666552 Robur Fonder AB Robur Realräntefond SEK 2005-01-31 1 1 117,95 117,95 117,95 117,95 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-01 1 1 118,26 118,26 118,26 118,26 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-02 1 1 118,34 118,34 118,34 118,34 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-03 1 1 118,43 118,43 118,43 118,43 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-04 1 1 118,7 118,7 118,7 118,7 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-07 1 1 119,06 119,06 119,06 119,06 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-08 1 1 119,19 119,19 119,19 119,19 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-09 1 1 119,44 119,44 119,44 119,44 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-10 1 1 119,5 119,5 119,5 119,5 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-11 1 1 119,36 119,36 119,36 119,36 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-14 1 1 119,17 119,17 119,17 119,17 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-15 1 1 119,08 119,08 119,08 119,08 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-16 1 1 118,96 118,96 118,96 118,96 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-17 1 1 118,24 118,24 118,24 118,24 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-18 1 1 117,43 117,43 117,43 117,43 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-21 1 1 117,12 117,12 117,12 117,12 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-22 1 1 116,85 116,85 116,85 116,85 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-23 1 1 117,08 117,08 117,08 117,08 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-24 1 1 116,74 116,74 116,74 116,74 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-25 1 1 116,69 116,69 116,69 116,69 666552 Robur Fonder AB Robur Realräntefond SEK 2005-02-28 1 1 116,82 116,82 116,82 116,82 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-01 1 1 116,64 116,64 116,64 116,64 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-02 1 1 116,33 116,33 116,33 116,33 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-03 1 1 116,25 116,25 116,25 116,25 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-04 1 1 116,54 116,54 116,54 116,54 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-07 1 1 116,71 116,71 116,71 116,71 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-08 1 1 116,98 116,98 116,98 116,98 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-09 1 1 116,59 116,59 116,59 116,59 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-10 1 1 116,55 116,55 116,55 116,55 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-11 1 1 116,55 116,55 116,55 116,55 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-14 1 1 116,48 116,48 116,48 116,48 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-15 1 1 116,68 116,68 116,68 116,68 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-16 1 1 116,54 116,54 116,54 116,54 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-17 1 1 116,6 116,6 116,6 116,6 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-18 1 1 116,51 116,51 116,51 116,51 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-21 1 1 116,46 116,46 116,46 116,46 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-22 1 1 116,66 116,66 116,66 116,66 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-23 1 1 116,9 116,9 116,9 116,9 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-24 1 1 117,18 117,18 117,18 117,18 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-29 1 1 117,35 117,35 117,35 117,35 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-30 1 1 117,72 117,72 117,72 117,72 666552 Robur Fonder AB Robur Realräntefond SEK 2005-03-31 1 1 118,36 118,36 118,36 118,36 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-01 1 1 118,77 118,77 118,77 118,77 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-04 1 1 118,84 118,84 118,84 118,84 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-05 1 1 118,86 118,86 118,86 118,86 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-06 1 1 119,06 119,06 119,06 119,06 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-07 1 1 119,53 119,53 119,53 119,53 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-08 1 1 119,36 119,36 119,36 119,36 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-11 1 1 119,48 119,48 119,48 119,48 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-12 1 1 119,57 119,57 119,57 119,57 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-13 1 1 120,07 120,07 120,07 120,07 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-14 1 1 120,08 120,08 120,08 120,08 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-15 1 1 120,48 120,48 120,48 120,48 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-18 1 1 120,81 120,81 120,81 120,81 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-19 1 1 120,82 120,82 120,82 120,82 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-20 1 1 121,02 121,02 121,02 121,02 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-21 1 1 121,34 121,34 121,34 121,34 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-22 1 1 121,8 121,8 121,8 121,8 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-25 1 1 121,94 121,94 121,94 121,94 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-26 1 1 122,5 122,5 122,5 122,5 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-27 1 1 122,74 122,74 122,74 122,74 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-28 1 1 122,54 122,54 122,54 122,54 666552 Robur Fonder AB Robur Realräntefond SEK 2005-04-29 1 1 122,46 122,46 122,46 122,46 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-02 1 1 122,56 122,56 122,56 122,56 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-03 1 1 122,54 122,54 122,54 122,54 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-04 1 1 121,82 121,82 121,82 121,82 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-06 1 1 121,2 121,2 121,2 121,2 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-09 1 1 121,25 121,25 121,25 121,25 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-10 1 1 121,88 121,88 121,88 121,88 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-11 1 1 122,12 122,12 122,12 122,12 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-12 1 1 121,97 121,97 121,97 121,97 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-13 1 1 122 122 122 122 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-16 1 1 121,89 121,89 121,89 121,89 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-17 1 1 121,74 121,74 121,74 121,74 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-18 1 1 122,03 122,03 122,03 122,03 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-19 1 1 121,91 121,91 121,91 121,91 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-20 1 1 121,59 121,59 121,59 121,59 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-23 1 1 121,6 121,6 121,6 121,6 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-24 1 1 121,81 121,81 121,81 121,81 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-25 1 1 121,81 121,81 121,81 121,81 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-26 1 1 121,35 121,35 121,35 121,35 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-27 1 1 121,45 121,45 121,45 121,45 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-30 1 1 121,33 121,33 121,33 121,33 666552 Robur Fonder AB Robur Realräntefond SEK 2005-05-31 1 1 121,6 121,6 121,6 121,6 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-01 1 1 121,66 121,66 121,66 121,66 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-02 1 1 121,61 121,61 121,61 121,61 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-03 1 1 121,54 121,54 121,54 121,54 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-07 1 1 121,12 121,12 121,12 121,12 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-08 1 1 122,11 122,11 122,11 122,11 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-09 1 1 122,5 122,5 122,5 122,5 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-10 1 1 122,44 122,44 122,44 122,44 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-13 1 1 122,43 122,43 122,43 122,43 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-14 1 1 122,2 122,2 122,2 122,2 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-15 1 1 121,78 121,78 121,78 121,78 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-16 1 1 121,19 121,19 121,19 121,19 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-17 1 1 121,56 121,56 121,56 121,56 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-20 1 1 121,58 121,58 121,58 121,58 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-21 1 1 122,38 122,38 122,38 122,38 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-22 1 1 123,16 123,16 123,16 123,16 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-23 1 1 123,32 123,32 123,32 123,32 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-27 1 1 123,6 123,6 123,6 123,6 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-28 1 1 123,5 123,5 123,5 123,5 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-29 1 1 123,67 123,67 123,67 123,67 666552 Robur Fonder AB Robur Realräntefond SEK 2005-06-30 1 1 123,59 123,59 123,59 123,59 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-01 1 1 123,76 123,76 123,76 123,76 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-04 1 1 123,52 123,52 123,52 123,52 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-05 1 1 123,32 123,32 123,32 123,32 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-06 1 1 123,4 123,4 123,4 123,4 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-07 1 1 123,94 123,94 123,94 123,94 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-08 1 1 123,91 123,91 123,91 123,91 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-11 1 1 123,84 123,84 123,84 123,84 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-12 1 1 123,68 123,68 123,68 123,68 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-13 1 1 123,63 123,63 123,63 123,63 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-14 1 1 123,54 123,54 123,54 123,54 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-15 1 1 123,45 123,45 123,45 123,45 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-18 1 1 123,48 123,48 123,48 123,48 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-19 1 1 123,52 123,52 123,52 123,52 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-20 1 1 123,63 123,63 123,63 123,63 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-21 1 1 123,92 123,92 123,92 123,92 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-22 1 1 124 124 124 124 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-25 1 1 123,96 123,96 123,96 123,96 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-26 1 1 123,93 123,93 123,93 123,93 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-27 1 1 124,16 124,16 124,16 124,16 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-28 1 1 124,13 124,13 124,13 124,13 666552 Robur Fonder AB Robur Realräntefond SEK 2005-07-29 1 1 124,21 124,21 124,21 124,21 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-01 1 1 124,01 124,01 124,01 124,01 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-02 1 1 123,89 123,89 123,89 123,89 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-03 1 1 123,83 123,83 123,83 123,83 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-04 1 1 123,91 123,91 123,91 123,91 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-05 1 1 123,76 123,76 123,76 123,76 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-08 1 1 123,74 123,74 123,74 123,74 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-09 1 1 123,71 123,71 123,71 123,71 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-10 1 1 123,79 123,79 123,79 123,79 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-11 1 1 123,57 123,57 123,57 123,57 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-12 1 1 123,69 123,69 123,69 123,69 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-15 1 1 123,7 123,7 123,7 123,7 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-16 1 1 123,73 123,73 123,73 123,73 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-17 1 1 123,74 123,74 123,74 123,74 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-18 1 1 123,75 123,75 123,75 123,75 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-19 1 1 123,84 123,84 123,84 123,84 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-22 1 1 123,87 123,87 123,87 123,87 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-23 1 1 123,95 123,95 123,95 123,95 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-24 1 1 124,17 124,17 124,17 124,17 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-25 1 1 124,76 124,76 124,76 124,76 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-26 1 1 124,85 124,85 124,85 124,85 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-29 1 1 124,81 124,81 124,81 124,81 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-30 1 1 124,8 124,8 124,8 124,8 666552 Robur Fonder AB Robur Realräntefond SEK 2005-08-31 1 1 125,2 125,2 125,2 125,2 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-01 1 1 125,56 125,56 125,56 125,56 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-02 1 1 126 126 126 126 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-05 1 1 126,2 126,2 126,2 126,2 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-06 1 1 126,06 126,06 126,06 126,06 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-07 1 1 126,07 126,07 126,07 126,07 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-08 1 1 126,38 126,38 126,38 126,38 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-09 1 1 126,84 126,84 126,84 126,84 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-12 1 1 126,36 126,36 126,36 126,36 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-13 1 1 126,53 126,53 126,53 126,53 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-14 1 1 126,52 126,52 126,52 126,52 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-15 1 1 126,23 126,23 126,23 126,23 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-16 1 1 125,97 125,97 125,97 125,97 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-19 1 1 125,92 125,92 125,92 125,92 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-20 1 1 126,28 126,28 126,28 126,28 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-21 1 1 126,73 126,73 126,73 126,73 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-22 1 1 126,73 126,73 126,73 126,73 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-23 1 1 126,67 126,67 126,67 126,67 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-26 1 1 126,47 126,47 126,47 126,47 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-27 1 1 126,45 126,45 126,45 126,45 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-28 1 1 126,33 126,33 126,33 126,33 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-29 1 1 126,2 126,2 126,2 126,2 666552 Robur Fonder AB Robur Realräntefond SEK 2005-09-30 1 1 126,22 126,22 126,22 126,22 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-03 1 1 125,95 125,95 125,95 125,95 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-04 1 1 125,69 125,69 125,69 125,69 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-05 1 1 125,76 125,76 125,76 125,76 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-06 1 1 125,54 125,54 125,54 125,54 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-07 1 1 125,24 125,24 125,24 125,24 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-10 1 1 125,25 125,25 125,25 125,25 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-11 1 1 125,19 125,19 125,19 125,19 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-12 1 1 124,86 124,86 124,86 124,86 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-13 1 1 124,44 124,44 124,44 124,44 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-14 1 1 124,53 124,53 124,53 124,53 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-17 1 1 124,47 124,47 124,47 124,47 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-18 1 1 124,48 124,48 124,48 124,48 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-19 1 1 124,73 124,73 124,73 124,73 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-20 1 1 124,41 124,41 124,41 124,41 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-21 1 1 124,45 124,45 124,45 124,45 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-24 1 1 124,61 124,61 124,61 124,61 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-25 1 1 124,54 124,54 124,54 124,54 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-26 1 1 124,19 124,19 124,19 124,19 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-27 1 1 124,2 124,2 124,2 124,2 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-28 1 1 124,22 124,22 124,22 124,22 666552 Robur Fonder AB Robur Realräntefond SEK 2005-10-31 1 1 124,28 124,28 124,28 124,28 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-01 1 1 124,4 124,4 124,4 124,4 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-02 1 1 124,17 124,17 124,17 124,17 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-03 1 1 123,95 123,95 123,95 123,95 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-04 1 1 123,59 123,59 123,59 123,59 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-07 1 1 123,46 123,46 123,46 123,46 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-08 1 1 123,5 123,5 123,5 123,5 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-09 1 1 123,41 123,41 123,41 123,41 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-10 1 1 123,19 123,19 123,19 123,19 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-11 1 1 123,21 123,21 123,21 123,21 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-14 1 1 123,31 123,31 123,31 123,31 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-15 1 1 123,15 123,15 123,15 123,15 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-16 1 1 123,32 123,32 123,32 123,32 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-17 1 1 123,28 123,28 123,28 123,28 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-18 1 1 123,1 123,1 123,1 123,1 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-21 1 1 123,1 123,1 123,1 123,1 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-22 1 1 123,27 123,27 123,27 123,27 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-23 1 1 123,6 123,6 123,6 123,6 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-24 1 1 124,13 124,13 124,13 124,13 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-25 1 1 124,16 124,16 124,16 124,16 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-28 1 1 124,11 124,11 124,11 124,11 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-29 1 1 124,15 124,15 124,15 124,15 666552 Robur Fonder AB Robur Realräntefond SEK 2005-11-30 1 1 124 124 124 124 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-01 1 1 124,35 124,35 124,35 124,35 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-02 1 1 118,78 118,78 118,78 118,78 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-05 1 1 118,5 118,5 118,5 118,5 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-06 1 1 118,48 118,48 118,48 118,48 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-07 1 1 118,56 118,56 118,56 118,56 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-08 1 1 118,45 118,45 118,45 118,45 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-12 1 1 118,28 118,28 118,28 118,28 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-13 1 1 118,25 118,25 118,25 118,25 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-14 1 1 118,58 118,58 118,58 118,58 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-15 1 1 118,5 118,5 118,5 118,5 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-16 1 1 118,65 118,65 118,65 118,65 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-19 1 1 118,64 118,64 118,64 118,64 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-20 1 1 118,5 118,5 118,5 118,5 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-21 1 1 118,5 118,5 118,5 118,5 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-22 1 1 118,53 118,53 118,53 118,53 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-23 1 1 118,68 118,68 118,68 118,68 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-27 1 1 118,8 118,8 118,8 118,8 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-28 1 1 118,85 118,85 118,85 118,85 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-29 1 1 119,01 119,01 119,01 119,01 666552 Robur Fonder AB Robur Realräntefond SEK 2005-12-30 1 1 119,11 119,11 119,11 119,11 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-04 1 1 9,63 9,63 9,63 9,63 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-05 1 1 9,55 9,55 9,55 9,55 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-07 1 1 9,62 9,62 9,62 9,62 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-10 1 1 9,72 9,72 9,72 9,72 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-11 1 1 9,68 9,68 9,68 9,68 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-12 1 1 9,57 9,57 9,57 9,57 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-13 1 1 9,65 9,65 9,65 9,65 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-14 1 1 9,83 9,83 9,83 9,83 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-17 1 1 9,87 9,87 9,87 9,87 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-18 1 1 9,78 9,78 9,78 9,78 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-19 1 1 9,73 9,73 9,73 9,73 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-20 1 1 9,72 9,72 9,72 9,72 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-21 1 1 9,75 9,75 9,75 9,75 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-24 1 1 9,8 9,8 9,8 9,8 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-25 1 1 10,01 10,01 10,01 10,01 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-26 1 1 9,91 9,91 9,91 9,91 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-27 1 1 10,03 10,03 10,03 10,03 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-28 1 1 10,28 10,28 10,28 10,28 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-01-31 1 1 10,41 10,41 10,41 10,41 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-01 1 1 10,42 10,42 10,42 10,42 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-02 1 1 10,58 10,58 10,58 10,58 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-03 1 1 10,72 10,72 10,72 10,72 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-04 1 1 10,76 10,76 10,76 10,76 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-07 1 1 10,88 10,88 10,88 10,88 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-08 1 1 10,95 10,95 10,95 10,95 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-09 1 1 10,93 10,93 10,93 10,93 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-10 1 1 10,8 10,8 10,8 10,8 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-11 1 1 10,79 10,79 10,79 10,79 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-14 1 1 10,77 10,77 10,77 10,77 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-15 1 1 10,82 10,82 10,82 10,82 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-16 1 1 10,89 10,89 10,89 10,89 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-17 1 1 10,94 10,94 10,94 10,94 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-18 1 1 10,98 10,98 10,98 10,98 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-21 1 1 11,05 11,05 11,05 11,05 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-22 1 1 10,9 10,9 10,9 10,9 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-23 1 1 10,89 10,89 10,89 10,89 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-24 1 1 11,07 11,07 11,07 11,07 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-25 1 1 11,32 11,32 11,32 11,32 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-02-28 1 1 11,42 11,42 11,42 11,42 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-01 1 1 11,43 11,43 11,43 11,43 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-02 1 1 11,44 11,44 11,44 11,44 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-03 1 1 11,39 11,39 11,39 11,39 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-04 1 1 11,37 11,37 11,37 11,37 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-09 1 1 11,35 11,35 11,35 11,35 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-10 1 1 11,19 11,19 11,19 11,19 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-11 1 1 11,19 11,19 11,19 11,19 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-14 1 1 11,16 11,16 11,16 11,16 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-15 1 1 11,16 11,16 11,16 11,16 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-16 1 1 10,81 10,81 10,81 10,81 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-17 1 1 10,83 10,83 10,83 10,83 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-18 1 1 10,9 10,9 10,9 10,9 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-21 1 1 10,82 10,82 10,82 10,82 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-22 1 1 10,9 10,9 10,9 10,9 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-23 1 1 10,84 10,84 10,84 10,84 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-24 1 1 11,12 11,12 11,12 11,12 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-29 1 1 11,13 11,13 11,13 11,13 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-30 1 1 10,9 10,9 10,9 10,9 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-03-31 1 1 11,05 11,05 11,05 11,05 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-01 1 1 11,2 11,2 11,2 11,2 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-04 1 1 11,36 11,36 11,36 11,36 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-05 1 1 11,4 11,4 11,4 11,4 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-06 1 1 11,63 11,63 11,63 11,63 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-07 1 1 11,6 11,6 11,6 11,6 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-08 1 1 11,83 11,83 11,83 11,83 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-11 1 1 11,42 11,42 11,42 11,42 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-12 1 1 11,42 11,42 11,42 11,42 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-13 1 1 11,46 11,46 11,46 11,46 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-14 1 1 11,42 11,42 11,42 11,42 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-15 1 1 11,22 11,22 11,22 11,22 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-18 1 1 10,97 10,97 10,97 10,97 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-19 1 1 11 11 11 11 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-20 1 1 11,02 11,02 11,02 11,02 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-21 1 1 11,01 11,01 11,01 11,01 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-22 1 1 11,06 11,06 11,06 11,06 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-25 1 1 11,13 11,13 11,13 11,13 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-26 1 1 11,1 11,1 11,1 11,1 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-27 1 1 10,91 10,91 10,91 10,91 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-28 1 1 10,9 10,9 10,9 10,9 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-04-29 1 1 10,93 10,93 10,93 10,93 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-03 1 1 10,98 10,98 10,98 10,98 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-04 1 1 10,98 10,98 10,98 10,98 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-06 1 1 11,01 11,01 11,01 11,01 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-11 1 1 10,99 10,99 10,99 10,99 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-12 1 1 10,91 10,91 10,91 10,91 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-13 1 1 10,86 10,86 10,86 10,86 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-16 1 1 10,78 10,78 10,78 10,78 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-17 1 1 10,84 10,84 10,84 10,84 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-18 1 1 10,97 10,97 10,97 10,97 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-19 1 1 11,02 11,02 11,02 11,02 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-20 1 1 11,09 11,09 11,09 11,09 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-23 1 1 11,04 11,04 11,04 11,04 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-24 1 1 11,28 11,28 11,28 11,28 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-25 1 1 11,27 11,27 11,27 11,27 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-26 1 1 11,35 11,35 11,35 11,35 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-27 1 1 11,35 11,35 11,35 11,35 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-30 1 1 11,35 11,35 11,35 11,35 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-05-31 1 1 11,55 11,55 11,55 11,55 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-01 1 1 11,52 11,52 11,52 11,52 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-02 1 1 11,54 11,54 11,54 11,54 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-03 1 1 11,56 11,56 11,56 11,56 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-07 1 1 11,47 11,47 11,47 11,47 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-08 1 1 11,5 11,5 11,5 11,5 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-09 1 1 11,6 11,6 11,6 11,6 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-10 1 1 11,73 11,73 11,73 11,73 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-14 1 1 11,98 11,98 11,98 11,98 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-15 1 1 11,91 11,91 11,91 11,91 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-16 1 1 11,9 11,9 11,9 11,9 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-17 1 1 11,78 11,78 11,78 11,78 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-20 1 1 11,92 11,92 11,92 11,92 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-21 1 1 11,93 11,93 11,93 11,93 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-22 1 1 12,1 12,1 12,1 12,1 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-23 1 1 12,36 12,36 12,36 12,36 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-27 1 1 12,18 12,18 12,18 12,18 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-28 1 1 12,27 12,27 12,27 12,27 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-29 1 1 12,35 12,35 12,35 12,35 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-06-30 1 1 12,43 12,43 12,43 12,43 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-01 1 1 12,7 12,7 12,7 12,7 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-04 1 1 12,84 12,84 12,84 12,84 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-05 1 1 12,72 12,72 12,72 12,72 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-06 1 1 12,95 12,95 12,95 12,95 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-07 1 1 12,95 12,95 12,95 12,95 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-08 1 1 13,18 13,18 13,18 13,18 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-11 1 1 13,2 13,2 13,2 13,2 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-12 1 1 12,98 12,98 12,98 12,98 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-13 1 1 13,1 13,1 13,1 13,1 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-14 1 1 13,14 13,14 13,14 13,14 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-15 1 1 13,06 13,06 13,06 13,06 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-18 1 1 13,02 13,02 13,02 13,02 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-19 1 1 13,16 13,16 13,16 13,16 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-20 1 1 13,31 13,31 13,31 13,31 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-21 1 1 13,19 13,19 13,19 13,19 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-22 1 1 13,29 13,29 13,29 13,29 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-25 1 1 13,46 13,46 13,46 13,46 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-26 1 1 13,44 13,44 13,44 13,44 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-27 1 1 13,46 13,46 13,46 13,46 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-28 1 1 13,54 13,54 13,54 13,54 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-07-29 1 1 13,49 13,49 13,49 13,49 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-01 1 1 13,43 13,43 13,43 13,43 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-02 1 1 13,56 13,56 13,56 13,56 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-03 1 1 13,42 13,42 13,42 13,42 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-04 1 1 13,47 13,47 13,47 13,47 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-05 1 1 13,66 13,66 13,66 13,66 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-08 1 1 13,69 13,69 13,69 13,69 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-09 1 1 13,77 13,77 13,77 13,77 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-10 1 1 13,74 13,74 13,74 13,74 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-11 1 1 13,52 13,52 13,52 13,52 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-12 1 1 13,51 13,51 13,51 13,51 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-15 1 1 13,6 13,6 13,6 13,6 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-16 1 1 13,96 13,96 13,96 13,96 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-17 1 1 14,09 14,09 14,09 14,09 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-18 1 1 14,19 14,19 14,19 14,19 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-19 1 1 14,45 14,45 14,45 14,45 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-22 1 1 14,51 14,51 14,51 14,51 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-23 1 1 14,53 14,53 14,53 14,53 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-24 1 1 14,48 14,48 14,48 14,48 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-25 1 1 14,52 14,52 14,52 14,52 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-26 1 1 14,53 14,53 14,53 14,53 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-29 1 1 14,57 14,57 14,57 14,57 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-30 1 1 14,82 14,82 14,82 14,82 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-08-31 1 1 14,79 14,79 14,79 14,79 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-01 1 1 14,75 14,75 14,75 14,75 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-02 1 1 14,78 14,78 14,78 14,78 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-05 1 1 14,84 14,84 14,84 14,84 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-06 1 1 14,64 14,64 14,64 14,64 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-07 1 1 14,54 14,54 14,54 14,54 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-08 1 1 14,74 14,74 14,74 14,74 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-09 1 1 15,06 15,06 15,06 15,06 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-12 1 1 15,25 15,25 15,25 15,25 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-13 1 1 15,25 15,25 15,25 15,25 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-14 1 1 15,17 15,17 15,17 15,17 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-15 1 1 15,42 15,42 15,42 15,42 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-16 1 1 15,64 15,64 15,64 15,64 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-19 1 1 15,94 15,94 15,94 15,94 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-20 1 1 15,96 15,96 15,96 15,96 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-21 1 1 16,11 16,11 16,11 16,11 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-22 1 1 16,38 16,38 16,38 16,38 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-23 1 1 16,58 16,58 16,58 16,58 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-26 1 1 16,52 16,52 16,52 16,52 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-27 1 1 16,96 16,96 16,96 16,96 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-28 1 1 17,08 17,08 17,08 17,08 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-29 1 1 17,04 17,04 17,04 17,04 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-09-30 1 1 17,15 17,15 17,15 17,15 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-03 1 1 17,59 17,59 17,59 17,59 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-04 1 1 17,81 17,81 17,81 17,81 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-05 1 1 17,29 17,29 17,29 17,29 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-06 1 1 16,2 16,2 16,2 16,2 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-07 1 1 16,26 16,26 16,26 16,26 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-10 1 1 16,55 16,55 16,55 16,55 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-11 1 1 16,88 16,88 16,88 16,88 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-12 1 1 16,52 16,52 16,52 16,52 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-13 1 1 16,15 16,15 16,15 16,15 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-14 1 1 15,95 15,95 15,95 15,95 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-17 1 1 15,94 15,94 15,94 15,94 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-18 1 1 16,14 16,14 16,14 16,14 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-19 1 1 15,54 15,54 15,54 15,54 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-20 1 1 15,69 15,69 15,69 15,69 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-21 1 1 15,53 15,53 15,53 15,53 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-24 1 1 16,11 16,11 16,11 16,11 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-25 1 1 15,78 15,78 15,78 15,78 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-26 1 1 15,81 15,81 15,81 15,81 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-27 1 1 15,63 15,63 15,63 15,63 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-28 1 1 15,77 15,77 15,77 15,77 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-10-31 1 1 16,23 16,23 16,23 16,23 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-01 1 1 16,42 16,42 16,42 16,42 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-02 1 1 16,64 16,64 16,64 16,64 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-03 1 1 16,96 16,96 16,96 16,96 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-04 1 1 17,01 17,01 17,01 17,01 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-08 1 1 17,05 17,05 17,05 17,05 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-09 1 1 17,33 17,33 17,33 17,33 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-10 1 1 17,3 17,3 17,3 17,3 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-11 1 1 17,13 17,13 17,13 17,13 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-14 1 1 17,37 17,37 17,37 17,37 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-15 1 1 17,51 17,51 17,51 17,51 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-16 1 1 17,45 17,45 17,45 17,45 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-17 1 1 17,86 17,86 17,86 17,86 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-18 1 1 17,66 17,66 17,66 17,66 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-21 1 1 17,69 17,69 17,69 17,69 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-22 1 1 17,77 17,77 17,77 17,77 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-23 1 1 17,45 17,45 17,45 17,45 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-24 1 1 17,6 17,6 17,6 17,6 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-25 1 1 17,65 17,65 17,65 17,65 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-28 1 1 17,88 17,88 17,88 17,88 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-29 1 1 17,73 17,73 17,73 17,73 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-11-30 1 1 17,84 17,84 17,84 17,84 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-01 1 1 18,14 18,14 18,14 18,14 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-02 1 1 18,3 18,3 18,3 18,3 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-05 1 1 18,18 18,18 18,18 18,18 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-06 1 1 18,05 18,05 18,05 18,05 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-07 1 1 18,35 18,35 18,35 18,35 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-08 1 1 18,24 18,24 18,24 18,24 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-12 1 1 18,13 18,13 18,13 18,13 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-13 1 1 18,1 18,1 18,1 18,1 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-14 1 1 18,09 18,09 18,09 18,09 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-15 1 1 18,06 18,06 18,06 18,06 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-16 1 1 18,13 18,13 18,13 18,13 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-19 1 1 18,17 18,17 18,17 18,17 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-20 1 1 18,21 18,21 18,21 18,21 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-21 1 1 18,5 18,5 18,5 18,5 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-22 1 1 18,66 18,66 18,66 18,66 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-23 1 1 18,61 18,61 18,61 18,61 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-27 1 1 18,64 18,64 18,64 18,64 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-28 1 1 18,32 18,32 18,32 18,32 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-29 1 1 18,49 18,49 18,49 18,49 752204 Robur Fonder AB Robur Rysslandsfond SEK 2005-12-30 1 1 18,58 18,58 18,58 18,58 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-03 1 1 106,11 106,11 106,11 106,11 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-04 1 1 106,54 106,54 106,54 106,54 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-05 1 1 106,4 106,4 106,4 106,4 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-07 1 1 106,87 106,87 106,87 106,87 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-10 1 1 107,36 107,36 107,36 107,36 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-11 1 1 106,89 106,89 106,89 106,89 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-12 1 1 107,25 107,25 107,25 107,25 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-13 1 1 107,37 107,37 107,37 107,37 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-14 1 1 107,4 107,4 107,4 107,4 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-17 1 1 107,51 107,51 107,51 107,51 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-18 1 1 107,31 107,31 107,31 107,31 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-19 1 1 107,49 107,49 107,49 107,49 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-20 1 1 107,25 107,25 107,25 107,25 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-21 1 1 107,45 107,45 107,45 107,45 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-24 1 1 107,72 107,72 107,72 107,72 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-25 1 1 107,95 107,95 107,95 107,95 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-26 1 1 107,97 107,97 107,97 107,97 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-27 1 1 107,89 107,89 107,89 107,89 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-28 1 1 108,22 108,22 108,22 108,22 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-01-31 1 1 108,38 108,38 108,38 108,38 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-01 1 1 108,3 108,3 108,3 108,3 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-02 1 1 108,04 108,04 108,04 108,04 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-03 1 1 108,05 108,05 108,05 108,05 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-04 1 1 108,39 108,39 108,39 108,39 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-07 1 1 108,62 108,62 108,62 108,62 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-08 1 1 108,66 108,66 108,66 108,66 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-09 1 1 108,69 108,69 108,69 108,69 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-10 1 1 108,96 108,96 108,96 108,96 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-11 1 1 108,87 108,87 108,87 108,87 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-14 1 1 108,58 108,58 108,58 108,58 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-15 1 1 108,3 108,3 108,3 108,3 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-16 1 1 108,16 108,16 108,16 108,16 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-17 1 1 108,28 108,28 108,28 108,28 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-18 1 1 107,7 107,7 107,7 107,7 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-21 1 1 107,7 107,7 107,7 107,7 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-22 1 1 107,44 107,44 107,44 107,44 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-23 1 1 107,62 107,62 107,62 107,62 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-24 1 1 107,13 107,13 107,13 107,13 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-25 1 1 107,19 107,19 107,19 107,19 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-02-28 1 1 107,15 107,15 107,15 107,15 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-01 1 1 106,93 106,93 106,93 106,93 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-02 1 1 106,95 106,95 106,95 106,95 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-03 1 1 106,73 106,73 106,73 106,73 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-04 1 1 107,09 107,09 107,09 107,09 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-07 1 1 107,03 107,03 107,03 107,03 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-08 1 1 106,96 106,96 106,96 106,96 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-09 1 1 106,65 106,65 106,65 106,65 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-10 1 1 106,76 106,76 106,76 106,76 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-11 1 1 106,81 106,81 106,81 106,81 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-14 1 1 106,96 106,96 106,96 106,96 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-15 1 1 107,41 107,41 107,41 107,41 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-16 1 1 107,36 107,36 107,36 107,36 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-17 1 1 107,73 107,73 107,73 107,73 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-18 1 1 107,73 107,73 107,73 107,73 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-21 1 1 107,84 107,84 107,84 107,84 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-22 1 1 108,01 108,01 108,01 108,01 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-23 1 1 107,73 107,73 107,73 107,73 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-24 1 1 107,73 107,73 107,73 107,73 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-29 1 1 108,07 108,07 108,07 108,07 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-30 1 1 108,27 108,27 108,27 108,27 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-03-31 1 1 108,92 108,92 108,92 108,92 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-01 1 1 109,22 109,22 109,22 109,22 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-04 1 1 109,53 109,53 109,53 109,53 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-05 1 1 109,48 109,48 109,48 109,48 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-06 1 1 109,33 109,33 109,33 109,33 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-07 1 1 109,55 109,55 109,55 109,55 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-08 1 1 109,57 109,57 109,57 109,57 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-11 1 1 109,55 109,55 109,55 109,55 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-12 1 1 109,5 109,5 109,5 109,5 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-13 1 1 109,79 109,79 109,79 109,79 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-14 1 1 110,05 110,05 110,05 110,05 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-15 1 1 110,28 110,28 110,28 110,28 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-18 1 1 110,7 110,7 110,7 110,7 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-19 1 1 110,86 110,86 110,86 110,86 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-20 1 1 110,72 110,72 110,72 110,72 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-21 1 1 110,59 110,59 110,59 110,59 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-22 1 1 110,54 110,54 110,54 110,54 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-25 1 1 110,39 110,39 110,39 110,39 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-26 1 1 110,34 110,34 110,34 110,34 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-27 1 1 110,66 110,66 110,66 110,66 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-28 1 1 110,98 110,98 110,98 110,98 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-04-29 1 1 111,32 111,32 111,32 111,32 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-02 1 1 111,64 111,64 111,64 111,64 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-03 1 1 111,68 111,68 111,68 111,68 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-04 1 1 111,07 111,07 111,07 111,07 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-06 1 1 110,95 110,95 110,95 110,95 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-09 1 1 111,01 111,01 111,01 111,01 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-10 1 1 111,82 111,82 111,82 111,82 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-11 1 1 112,22 112,22 112,22 112,22 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-12 1 1 112,16 112,16 112,16 112,16 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-13 1 1 112,42 112,42 112,42 112,42 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-16 1 1 112,43 112,43 112,43 112,43 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-17 1 1 112,28 112,28 112,28 112,28 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-18 1 1 112,21 112,21 112,21 112,21 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-19 1 1 112,23 112,23 112,23 112,23 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-20 1 1 111,72 111,72 111,72 111,72 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-23 1 1 111,94 111,94 111,94 111,94 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-24 1 1 112,27 112,27 112,27 112,27 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-25 1 1 112,41 112,41 112,41 112,41 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-26 1 1 112,29 112,29 112,29 112,29 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-27 1 1 112,21 112,21 112,21 112,21 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-30 1 1 112,14 112,14 112,14 112,14 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-05-31 1 1 112,33 112,33 112,33 112,33 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-01 1 1 112,61 112,61 112,61 112,61 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-02 1 1 112,81 112,81 112,81 112,81 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-03 1 1 113,03 113,03 113,03 113,03 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-07 1 1 113,19 113,19 113,19 113,19 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-08 1 1 114,09 114,09 114,09 114,09 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-09 1 1 113,96 113,96 113,96 113,96 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-10 1 1 114,35 114,35 114,35 114,35 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-13 1 1 114,87 114,87 114,87 114,87 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-14 1 1 114,8 114,8 114,8 114,8 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-15 1 1 114,23 114,23 114,23 114,23 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-16 1 1 113,77 113,77 113,77 113,77 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-17 1 1 113,37 113,37 113,37 113,37 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-20 1 1 113,48 113,48 113,48 113,48 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-21 1 1 114,25 114,25 114,25 114,25 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-22 1 1 115,42 115,42 115,42 115,42 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-23 1 1 116,47 116,47 116,47 116,47 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-27 1 1 116,85 116,85 116,85 116,85 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-28 1 1 116,87 116,87 116,87 116,87 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-29 1 1 117,39 117,39 117,39 117,39 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-06-30 1 1 117,51 117,51 117,51 117,51 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-01 1 1 117,59 117,59 117,59 117,59 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-04 1 1 117,34 117,34 117,34 117,34 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-05 1 1 116,38 116,38 116,38 116,38 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-06 1 1 116,01 116,01 116,01 116,01 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-07 1 1 116,48 116,48 116,48 116,48 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-08 1 1 116,77 116,77 116,77 116,77 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-11 1 1 116,88 116,88 116,88 116,88 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-12 1 1 116,32 116,32 116,32 116,32 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-13 1 1 115,46 115,46 115,46 115,46 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-14 1 1 115,47 115,47 115,47 115,47 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-15 1 1 115,52 115,52 115,52 115,52 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-18 1 1 115,78 115,78 115,78 115,78 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-19 1 1 115,86 115,86 115,86 115,86 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-20 1 1 115,82 115,82 115,82 115,82 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-21 1 1 116,17 116,17 116,17 116,17 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-22 1 1 116,28 116,28 116,28 116,28 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-25 1 1 116,18 116,18 116,18 116,18 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-26 1 1 116,43 116,43 116,43 116,43 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-27 1 1 116,46 116,46 116,46 116,46 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-28 1 1 115,97 115,97 115,97 115,97 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-07-29 1 1 115,97 115,97 115,97 115,97 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-01 1 1 115,54 115,54 115,54 115,54 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-02 1 1 115,05 115,05 115,05 115,05 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-03 1 1 115,23 115,23 115,23 115,23 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-04 1 1 114,63 114,63 114,63 114,63 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-05 1 1 114,14 114,14 114,14 114,14 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-08 1 1 114,19 114,19 114,19 114,19 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-09 1 1 114,5 114,5 114,5 114,5 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-10 1 1 114,58 114,58 114,58 114,58 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-11 1 1 114,26 114,26 114,26 114,26 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-12 1 1 114,57 114,57 114,57 114,57 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-15 1 1 114,61 114,61 114,61 114,61 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-16 1 1 115,1 115,1 115,1 115,1 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-17 1 1 115,44 115,44 115,44 115,44 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-18 1 1 115,62 115,62 115,62 115,62 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-19 1 1 116,07 116,07 116,07 116,07 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-22 1 1 116,09 116,09 116,09 116,09 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-23 1 1 116,13 116,13 116,13 116,13 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-24 1 1 116,06 116,06 116,06 116,06 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-25 1 1 116,22 116,22 116,22 116,22 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-26 1 1 115,9 115,9 115,9 115,9 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-29 1 1 116,09 116,09 116,09 116,09 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-30 1 1 116,17 116,17 116,17 116,17 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-08-31 1 1 116,49 116,49 116,49 116,49 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-01 1 1 116,92 116,92 116,92 116,92 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-02 1 1 116,31 116,31 116,31 116,31 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-05 1 1 116,5 116,5 116,5 116,5 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-06 1 1 116,54 116,54 116,54 116,54 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-07 1 1 116,55 116,55 116,55 116,55 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-08 1 1 116,84 116,84 116,84 116,84 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-09 1 1 117 117 117 117 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-12 1 1 116,19 116,19 116,19 116,19 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-13 1 1 116,67 116,67 116,67 116,67 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-14 1 1 117,02 117,02 117,02 117,02 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-15 1 1 116,76 116,76 116,76 116,76 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-16 1 1 116,61 116,61 116,61 116,61 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-19 1 1 116,7 116,7 116,7 116,7 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-20 1 1 117 117 117 117 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-21 1 1 117,36 117,36 117,36 117,36 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-22 1 1 117,32 117,32 117,32 117,32 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-23 1 1 117,35 117,35 117,35 117,35 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-26 1 1 117,04 117,04 117,04 117,04 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-27 1 1 117,2 117,2 117,2 117,2 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-28 1 1 117,07 117,07 117,07 117,07 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-29 1 1 116,53 116,53 116,53 116,53 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-09-30 1 1 116,17 116,17 116,17 116,17 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-03 1 1 115,87 115,87 115,87 115,87 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-04 1 1 115,96 115,96 115,96 115,96 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-05 1 1 116,05 116,05 116,05 116,05 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-06 1 1 116,04 116,04 116,04 116,04 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-07 1 1 116,24 116,24 116,24 116,24 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-10 1 1 116,44 116,44 116,44 116,44 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-11 1 1 116,09 116,09 116,09 116,09 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-12 1 1 116,11 116,11 116,11 116,11 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-13 1 1 116,18 116,18 116,18 116,18 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-14 1 1 116,86 116,86 116,86 116,86 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-17 1 1 117,05 117,05 117,05 117,05 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-18 1 1 116,98 116,98 116,98 116,98 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-19 1 1 117,24 117,24 117,24 117,24 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-20 1 1 117,38 117,38 117,38 117,38 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-21 1 1 117,78 117,78 117,78 117,78 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-24 1 1 118,57 118,57 118,57 118,57 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-25 1 1 117,69 117,69 117,69 117,69 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-26 1 1 117,23 117,23 117,23 117,23 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-27 1 1 117,27 117,27 117,27 117,27 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-28 1 1 117,49 117,49 117,49 117,49 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-10-31 1 1 117,65 117,65 117,65 117,65 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-01 1 1 118,11 118,11 118,11 118,11 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-02 1 1 118,14 118,14 118,14 118,14 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-03 1 1 118,19 118,19 118,19 118,19 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-04 1 1 117,73 117,73 117,73 117,73 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-07 1 1 117,85 117,85 117,85 117,85 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-08 1 1 117,19 117,19 117,19 117,19 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-09 1 1 117,44 117,44 117,44 117,44 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-10 1 1 118,02 118,02 118,02 118,02 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-11 1 1 117,3 117,3 117,3 117,3 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-14 1 1 117,24 117,24 117,24 117,24 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-15 1 1 118,07 118,07 118,07 118,07 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-16 1 1 118,47 118,47 118,47 118,47 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-17 1 1 118,56 118,56 118,56 118,56 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-18 1 1 117,47 117,47 117,47 117,47 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-21 1 1 117,43 117,43 117,43 117,43 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-22 1 1 117,42 117,42 117,42 117,42 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-23 1 1 116,82 116,82 116,82 116,82 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-24 1 1 117,39 117,39 117,39 117,39 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-25 1 1 116,78 116,78 116,78 116,78 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-28 1 1 116,83 116,83 116,83 116,83 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-29 1 1 117,01 117,01 117,01 117,01 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-11-30 1 1 117,28 117,28 117,28 117,28 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-01 1 1 117,49 117,49 117,49 117,49 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-02 1 1 111,26 111,26 111,26 111,26 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-05 1 1 111,26 111,26 111,26 111,26 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-06 1 1 110,7 110,7 110,7 110,7 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-07 1 1 110,84 110,84 110,84 110,84 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-08 1 1 111,42 111,42 111,42 111,42 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-12 1 1 111,27 111,27 111,27 111,27 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-13 1 1 111,49 111,49 111,49 111,49 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-14 1 1 111,51 111,51 111,51 111,51 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-15 1 1 111,24 111,24 111,24 111,24 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-16 1 1 111,85 111,85 111,85 111,85 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-19 1 1 111,56 111,56 111,56 111,56 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-20 1 1 111,22 111,22 111,22 111,22 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-21 1 1 111,21 111,21 111,21 111,21 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-22 1 1 111,74 111,74 111,74 111,74 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-23 1 1 111,68 111,68 111,68 111,68 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-27 1 1 112 112 112 112 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-28 1 1 111,45 111,45 111,45 111,45 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-29 1 1 111,4 111,4 111,4 111,4 186189 Robur Fonder AB Robur Räntefond Europa SEK 2005-12-30 1 1 111,39 111,39 111,39 111,39 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-03 1 1 10,97 10,97 10,97 10,97 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-04 1 1 10,97 10,97 10,97 10,97 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-05 1 1 10,95 10,95 10,95 10,95 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-07 1 1 10,98 10,98 10,98 10,98 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-10 1 1 10,99 10,99 10,99 10,99 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-11 1 1 10,99 10,99 10,99 10,99 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-12 1 1 11 11 11 11 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-13 1 1 11,01 11,01 11,01 11,01 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-14 1 1 11,01 11,01 11,01 11,01 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-17 1 1 11,01 11,01 11,01 11,01 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-18 1 1 11,01 11,01 11,01 11,01 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-19 1 1 11,02 11,02 11,02 11,02 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-20 1 1 11,01 11,01 11,01 11,01 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-21 1 1 11,03 11,03 11,03 11,03 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-24 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-25 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-26 1 1 11,03 11,03 11,03 11,03 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-27 1 1 11,03 11,03 11,03 11,03 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-28 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-01-31 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-01 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-02 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-03 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-04 1 1 11,06 11,06 11,06 11,06 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-07 1 1 11,06 11,06 11,06 11,06 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-08 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-09 1 1 11,07 11,07 11,07 11,07 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-10 1 1 11,08 11,08 11,08 11,08 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-11 1 1 11,08 11,08 11,08 11,08 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-14 1 1 11,07 11,07 11,07 11,07 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-15 1 1 11,07 11,07 11,07 11,07 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-16 1 1 11,07 11,07 11,07 11,07 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-17 1 1 11,07 11,07 11,07 11,07 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-18 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-21 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-22 1 1 11,03 11,03 11,03 11,03 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-23 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-24 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-25 1 1 11,03 11,03 11,03 11,03 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-02-28 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-01 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-02 1 1 11,03 11,03 11,03 11,03 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-03 1 1 11,03 11,03 11,03 11,03 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-04 1 1 11,06 11,06 11,06 11,06 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-07 1 1 11,06 11,06 11,06 11,06 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-08 1 1 11,07 11,07 11,07 11,07 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-09 1 1 11,06 11,06 11,06 11,06 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-10 1 1 11,06 11,06 11,06 11,06 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-11 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-14 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-15 1 1 11,06 11,06 11,06 11,06 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-16 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-17 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-18 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-21 1 1 11,04 11,04 11,04 11,04 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-22 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-23 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-24 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-29 1 1 11,05 11,05 11,05 11,05 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-30 1 1 11,06 11,06 11,06 11,06 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-03-31 1 1 11,08 11,08 11,08 11,08 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-01 1 1 11,1 11,1 11,1 11,1 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-04 1 1 11,1 11,1 11,1 11,1 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-05 1 1 11,1 11,1 11,1 11,1 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-06 1 1 11,11 11,11 11,11 11,11 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-07 1 1 11,11 11,11 11,11 11,11 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-08 1 1 11,1 11,1 11,1 11,1 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-11 1 1 11,11 11,11 11,11 11,11 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-12 1 1 11,11 11,11 11,11 11,11 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-13 1 1 11,13 11,13 11,13 11,13 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-14 1 1 11,14 11,14 11,14 11,14 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-15 1 1 11,15 11,15 11,15 11,15 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-18 1 1 11,15 11,15 11,15 11,15 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-19 1 1 11,16 11,16 11,16 11,16 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-20 1 1 11,16 11,16 11,16 11,16 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-21 1 1 11,17 11,17 11,17 11,17 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-22 1 1 11,17 11,17 11,17 11,17 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-25 1 1 11,18 11,18 11,18 11,18 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-26 1 1 11,19 11,19 11,19 11,19 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-27 1 1 11,21 11,21 11,21 11,21 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-28 1 1 11,22 11,22 11,22 11,22 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-04-29 1 1 11,23 11,23 11,23 11,23 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-02 1 1 11,23 11,23 11,23 11,23 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-03 1 1 11,24 11,24 11,24 11,24 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-04 1 1 11,23 11,23 11,23 11,23 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-06 1 1 11,21 11,21 11,21 11,21 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-09 1 1 11,22 11,22 11,22 11,22 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-10 1 1 11,24 11,24 11,24 11,24 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-11 1 1 11,25 11,25 11,25 11,25 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-12 1 1 11,24 11,24 11,24 11,24 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-13 1 1 11,26 11,26 11,26 11,26 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-16 1 1 11,26 11,26 11,26 11,26 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-17 1 1 11,27 11,27 11,27 11,27 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-18 1 1 11,29 11,29 11,29 11,29 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-19 1 1 11,28 11,28 11,28 11,28 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-20 1 1 11,27 11,27 11,27 11,27 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-23 1 1 11,27 11,27 11,27 11,27 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-24 1 1 11,28 11,28 11,28 11,28 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-25 1 1 11,29 11,29 11,29 11,29 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-26 1 1 11,28 11,28 11,28 11,28 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-27 1 1 11,28 11,28 11,28 11,28 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-30 1 1 11,28 11,28 11,28 11,28 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-05-31 1 1 11,3 11,3 11,3 11,3 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-01 1 1 11,32 11,32 11,32 11,32 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-02 1 1 11,32 11,32 11,32 11,32 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-03 1 1 11,34 11,34 11,34 11,34 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-07 1 1 11,34 11,34 11,34 11,34 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-08 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-09 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-10 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-13 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-14 1 1 11,36 11,36 11,36 11,36 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-15 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-16 1 1 11,34 11,34 11,34 11,34 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-17 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-20 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-21 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-22 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-23 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-27 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-28 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-29 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-06-30 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-01 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-04 1 1 11,41 11,41 11,41 11,41 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-05 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-06 1 1 11,41 11,41 11,41 11,41 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-07 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-08 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-11 1 1 11,41 11,41 11,41 11,41 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-12 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-13 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-14 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-15 1 1 11,39 11,39 11,39 11,39 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-18 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-19 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-20 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-21 1 1 11,41 11,41 11,41 11,41 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-22 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-25 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-26 1 1 11,41 11,41 11,41 11,41 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-27 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-28 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-07-29 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-01 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-02 1 1 11,36 11,36 11,36 11,36 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-03 1 1 11,36 11,36 11,36 11,36 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-04 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-05 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-08 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-09 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-10 1 1 11,36 11,36 11,36 11,36 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-11 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-12 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-15 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-16 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-17 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-18 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-19 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-22 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-23 1 1 11,39 11,39 11,39 11,39 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-24 1 1 11,39 11,39 11,39 11,39 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-25 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-26 1 1 11,41 11,41 11,41 11,41 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-29 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-30 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-08-31 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-01 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-02 1 1 11,44 11,44 11,44 11,44 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-05 1 1 11,45 11,45 11,45 11,45 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-06 1 1 11,44 11,44 11,44 11,44 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-07 1 1 11,44 11,44 11,44 11,44 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-08 1 1 11,45 11,45 11,45 11,45 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-09 1 1 11,46 11,46 11,46 11,46 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-12 1 1 11,44 11,44 11,44 11,44 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-13 1 1 11,44 11,44 11,44 11,44 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-14 1 1 11,44 11,44 11,44 11,44 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-15 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-16 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-19 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-20 1 1 11,44 11,44 11,44 11,44 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-21 1 1 11,46 11,46 11,46 11,46 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-22 1 1 11,46 11,46 11,46 11,46 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-23 1 1 11,45 11,45 11,45 11,45 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-26 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-27 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-28 1 1 11,43 11,43 11,43 11,43 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-29 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-09-30 1 1 11,42 11,42 11,42 11,42 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-03 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-04 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-05 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-06 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-07 1 1 11,39 11,39 11,39 11,39 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-10 1 1 11,39 11,39 11,39 11,39 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-11 1 1 11,39 11,39 11,39 11,39 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-12 1 1 11,39 11,39 11,39 11,39 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-13 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-14 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-17 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-18 1 1 11,38 11,38 11,38 11,38 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-19 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-20 1 1 11,39 11,39 11,39 11,39 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-21 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-24 1 1 11,4 11,4 11,4 11,4 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-25 1 1 11,39 11,39 11,39 11,39 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-26 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-27 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-28 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-10-31 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-01 1 1 11,37 11,37 11,37 11,37 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-02 1 1 11,36 11,36 11,36 11,36 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-03 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-04 1 1 11,34 11,34 11,34 11,34 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-07 1 1 11,33 11,33 11,33 11,33 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-08 1 1 11,34 11,34 11,34 11,34 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-09 1 1 11,33 11,33 11,33 11,33 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-10 1 1 11,33 11,33 11,33 11,33 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-11 1 1 11,34 11,34 11,34 11,34 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-14 1 1 11,34 11,34 11,34 11,34 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-15 1 1 11,33 11,33 11,33 11,33 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-16 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-17 1 1 11,34 11,34 11,34 11,34 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-18 1 1 11,33 11,33 11,33 11,33 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-21 1 1 11,33 11,33 11,33 11,33 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-22 1 1 11,34 11,34 11,34 11,34 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-23 1 1 11,34 11,34 11,34 11,34 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-24 1 1 11,36 11,36 11,36 11,36 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-25 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-28 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-29 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-11-30 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-01 1 1 11,35 11,35 11,35 11,35 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-02 1 1 10,83 10,83 10,83 10,83 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-05 1 1 10,82 10,82 10,82 10,82 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-06 1 1 10,81 10,81 10,81 10,81 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-07 1 1 10,82 10,82 10,82 10,82 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-08 1 1 10,81 10,81 10,81 10,81 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-12 1 1 10,81 10,81 10,81 10,81 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-13 1 1 10,82 10,82 10,82 10,82 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-14 1 1 10,83 10,83 10,83 10,83 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-15 1 1 10,83 10,83 10,83 10,83 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-16 1 1 10,83 10,83 10,83 10,83 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-19 1 1 10,83 10,83 10,83 10,83 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-20 1 1 10,83 10,83 10,83 10,83 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-21 1 1 10,82 10,82 10,82 10,82 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-22 1 1 10,82 10,82 10,82 10,82 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-23 1 1 10,82 10,82 10,82 10,82 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-27 1 1 10,83 10,83 10,83 10,83 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-28 1 1 10,83 10,83 10,83 10,83 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-29 1 1 10,83 10,83 10,83 10,83 677534 Robur Fonder AB Robur Räntefond Pension SEK 2005-12-30 1 1 10,84 10,84 10,84 10,84 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-03 1 1 26,91 26,91 26,91 26,91 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-04 1 1 26,99 26,99 26,99 26,99 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-05 1 1 26,94 26,94 26,94 26,94 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-07 1 1 26,94 26,94 26,94 26,94 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-10 1 1 27,03 27,03 27,03 27,03 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-11 1 1 26,82 26,82 26,82 26,82 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-12 1 1 26,65 26,65 26,65 26,65 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-13 1 1 26,56 26,56 26,56 26,56 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-14 1 1 26,69 26,69 26,69 26,69 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-17 1 1 26,72 26,72 26,72 26,72 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-18 1 1 26,52 26,52 26,52 26,52 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-19 1 1 26,58 26,58 26,58 26,58 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-20 1 1 26,26 26,26 26,26 26,26 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-21 1 1 26,11 26,11 26,11 26,11 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-24 1 1 25,95 25,95 25,95 25,95 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-25 1 1 26,07 26,07 26,07 26,07 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-26 1 1 25,98 25,98 25,98 25,98 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-27 1 1 25,88 25,88 25,88 25,88 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-28 1 1 25,79 25,79 25,79 25,79 932590 Robur Fonder AB Robur Skogsfond SEK 2005-01-31 1 1 25,88 25,88 25,88 25,88 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-01 1 1 25,89 25,89 25,89 25,89 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-02 1 1 25,96 25,96 25,96 25,96 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-03 1 1 26,1 26,1 26,1 26,1 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-04 1 1 26,35 26,35 26,35 26,35 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-07 1 1 26,62 26,62 26,62 26,62 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-08 1 1 26,73 26,73 26,73 26,73 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-09 1 1 26,53 26,53 26,53 26,53 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-10 1 1 26,46 26,46 26,46 26,46 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-11 1 1 26,47 26,47 26,47 26,47 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-14 1 1 26,33 26,33 26,33 26,33 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-15 1 1 26,25 26,25 26,25 26,25 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-16 1 1 26,19 26,19 26,19 26,19 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-17 1 1 26,52 26,52 26,52 26,52 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-18 1 1 26,64 26,64 26,64 26,64 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-21 1 1 26,66 26,66 26,66 26,66 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-22 1 1 26,32 26,32 26,32 26,32 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-23 1 1 26,14 26,14 26,14 26,14 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-24 1 1 26,16 26,16 26,16 26,16 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-25 1 1 26,35 26,35 26,35 26,35 932590 Robur Fonder AB Robur Skogsfond SEK 2005-02-28 1 1 26,34 26,34 26,34 26,34 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-01 1 1 26,44 26,44 26,44 26,44 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-02 1 1 26,62 26,62 26,62 26,62 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-03 1 1 26,75 26,75 26,75 26,75 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-04 1 1 27,06 27,06 27,06 27,06 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-07 1 1 27,21 27,21 27,21 27,21 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-08 1 1 26,79 26,79 26,79 26,79 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-09 1 1 26,75 26,75 26,75 26,75 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-10 1 1 26,48 26,48 26,48 26,48 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-11 1 1 26,57 26,57 26,57 26,57 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-14 1 1 26,53 26,53 26,53 26,53 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-15 1 1 26,77 26,77 26,77 26,77 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-16 1 1 26,28 26,28 26,28 26,28 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-17 1 1 26,15 26,15 26,15 26,15 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-18 1 1 26,4 26,4 26,4 26,4 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-21 1 1 26,51 26,51 26,51 26,51 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-22 1 1 26,28 26,28 26,28 26,28 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-23 1 1 26,18 26,18 26,18 26,18 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-24 1 1 26,35 26,35 26,35 26,35 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-29 1 1 26,08 26,08 26,08 26,08 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-30 1 1 25,81 25,81 25,81 25,81 932590 Robur Fonder AB Robur Skogsfond SEK 2005-03-31 1 1 26,04 26,04 26,04 26,04 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-01 1 1 26,25 26,25 26,25 26,25 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-04 1 1 26,13 26,13 26,13 26,13 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-05 1 1 26,15 26,15 26,15 26,15 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-06 1 1 26,3 26,3 26,3 26,3 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-07 1 1 26,27 26,27 26,27 26,27 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-08 1 1 26,5 26,5 26,5 26,5 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-11 1 1 26,06 26,06 26,06 26,06 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-12 1 1 26,03 26,03 26,03 26,03 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-13 1 1 26,02 26,02 26,02 26,02 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-14 1 1 25,76 25,76 25,76 25,76 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-15 1 1 25,21 25,21 25,21 25,21 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-18 1 1 24,66 24,66 24,66 24,66 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-19 1 1 24,74 24,74 24,74 24,74 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-20 1 1 24,69 24,69 24,69 24,69 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-21 1 1 24,36 24,36 24,36 24,36 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-22 1 1 24,48 24,48 24,48 24,48 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-25 1 1 24,55 24,55 24,55 24,55 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-26 1 1 24,49 24,49 24,49 24,49 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-27 1 1 24,25 24,25 24,25 24,25 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-28 1 1 24,63 24,63 24,63 24,63 932590 Robur Fonder AB Robur Skogsfond SEK 2005-04-29 1 1 24,04 24,04 24,04 24,04 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-02 1 1 24,62 24,62 24,62 24,62 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-03 1 1 24,43 24,43 24,43 24,43 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-04 1 1 24,16 24,16 24,16 24,16 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-06 1 1 24,62 24,62 24,62 24,62 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-09 1 1 24,61 24,61 24,61 24,61 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-10 1 1 24,53 24,53 24,53 24,53 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-11 1 1 24,35 24,35 24,35 24,35 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-12 1 1 24,35 24,35 24,35 24,35 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-13 1 1 24,07 24,07 24,07 24,07 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-16 1 1 23,95 23,95 23,95 23,95 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-17 1 1 23,95 23,95 23,95 23,95 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-18 1 1 24,34 24,34 24,34 24,34 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-19 1 1 24,41 24,41 24,41 24,41 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-20 1 1 24,32 24,32 24,32 24,32 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-23 1 1 24,45 24,45 24,45 24,45 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-24 1 1 24,41 24,41 24,41 24,41 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-25 1 1 24,09 24,09 24,09 24,09 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-26 1 1 24,32 24,32 24,32 24,32 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-27 1 1 24,39 24,39 24,39 24,39 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-30 1 1 24,61 24,61 24,61 24,61 932590 Robur Fonder AB Robur Skogsfond SEK 2005-05-31 1 1 24,62 24,62 24,62 24,62 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-01 1 1 24,91 24,91 24,91 24,91 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-02 1 1 24,94 24,94 24,94 24,94 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-03 1 1 24,97 24,97 24,97 24,97 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-07 1 1 25,2 25,2 25,2 25,2 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-08 1 1 25,2 25,2 25,2 25,2 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-09 1 1 25,08 25,08 25,08 25,08 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-10 1 1 25,34 25,34 25,34 25,34 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-13 1 1 25,74 25,74 25,74 25,74 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-14 1 1 25,89 25,89 25,89 25,89 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-15 1 1 26,03 26,03 26,03 26,03 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-16 1 1 26,22 26,22 26,22 26,22 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-17 1 1 26,12 26,12 26,12 26,12 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-20 1 1 26,12 26,12 26,12 26,12 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-21 1 1 26,15 26,15 26,15 26,15 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-22 1 1 26,37 26,37 26,37 26,37 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-23 1 1 26,55 26,55 26,55 26,55 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-27 1 1 25,79 25,79 25,79 25,79 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-28 1 1 26,19 26,19 26,19 26,19 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-29 1 1 26,49 26,49 26,49 26,49 932590 Robur Fonder AB Robur Skogsfond SEK 2005-06-30 1 1 26,19 26,19 26,19 26,19 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-01 1 1 26,31 26,31 26,31 26,31 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-04 1 1 26,39 26,39 26,39 26,39 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-05 1 1 26,15 26,15 26,15 26,15 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-06 1 1 25,96 25,96 25,96 25,96 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-07 1 1 25,69 25,69 25,69 25,69 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-08 1 1 25,89 25,89 25,89 25,89 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-11 1 1 26,12 26,12 26,12 26,12 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-12 1 1 25,94 25,94 25,94 25,94 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-13 1 1 25,86 25,86 25,86 25,86 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-14 1 1 25,99 25,99 25,99 25,99 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-15 1 1 25,99 25,99 25,99 25,99 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-18 1 1 26,02 26,02 26,02 26,02 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-19 1 1 26,93 26,93 26,93 26,93 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-20 1 1 26,78 26,78 26,78 26,78 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-21 1 1 26,81 26,81 26,81 26,81 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-22 1 1 26,88 26,88 26,88 26,88 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-25 1 1 26,91 26,91 26,91 26,91 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-26 1 1 26,79 26,79 26,79 26,79 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-27 1 1 26,87 26,87 26,87 26,87 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-28 1 1 26,77 26,77 26,77 26,77 932590 Robur Fonder AB Robur Skogsfond SEK 2005-07-29 1 1 26,84 26,84 26,84 26,84 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-01 1 1 26,53 26,53 26,53 26,53 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-02 1 1 26,62 26,62 26,62 26,62 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-03 1 1 26,3 26,3 26,3 26,3 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-04 1 1 25,99 25,99 25,99 25,99 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-05 1 1 25,93 25,93 25,93 25,93 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-08 1 1 25,9 25,9 25,9 25,9 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-09 1 1 25,98 25,98 25,98 25,98 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-10 1 1 26,28 26,28 26,28 26,28 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-11 1 1 26,2 26,2 26,2 26,2 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-12 1 1 26 26 26 26 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-15 1 1 25,94 25,94 25,94 25,94 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-16 1 1 26,13 26,13 26,13 26,13 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-17 1 1 26,12 26,12 26,12 26,12 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-18 1 1 26,09 26,09 26,09 26,09 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-19 1 1 26,24 26,24 26,24 26,24 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-22 1 1 26,4 26,4 26,4 26,4 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-23 1 1 26,18 26,18 26,18 26,18 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-24 1 1 25,77 25,77 25,77 25,77 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-25 1 1 25,73 25,73 25,73 25,73 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-26 1 1 25,58 25,58 25,58 25,58 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-29 1 1 25,51 25,51 25,51 25,51 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-30 1 1 25,71 25,71 25,71 25,71 932590 Robur Fonder AB Robur Skogsfond SEK 2005-08-31 1 1 25,8 25,8 25,8 25,8 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-01 1 1 25,84 25,84 25,84 25,84 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-02 1 1 25,47 25,47 25,47 25,47 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-05 1 1 25,54 25,54 25,54 25,54 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-06 1 1 25,78 25,78 25,78 25,78 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-07 1 1 25,89 25,89 25,89 25,89 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-08 1 1 25,92 25,92 25,92 25,92 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-09 1 1 26,08 26,08 26,08 26,08 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-12 1 1 26,26 26,26 26,26 26,26 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-13 1 1 26,49 26,49 26,49 26,49 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-14 1 1 26,62 26,62 26,62 26,62 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-15 1 1 26,94 26,94 26,94 26,94 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-16 1 1 27,06 27,06 27,06 27,06 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-19 1 1 27,13 27,13 27,13 27,13 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-20 1 1 27,02 27,02 27,02 27,02 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-21 1 1 26,78 26,78 26,78 26,78 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-22 1 1 26,64 26,64 26,64 26,64 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-23 1 1 26,87 26,87 26,87 26,87 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-26 1 1 27,19 27,19 27,19 27,19 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-27 1 1 27,05 27,05 27,05 27,05 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-28 1 1 26,97 26,97 26,97 26,97 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-29 1 1 26,8 26,8 26,8 26,8 932590 Robur Fonder AB Robur Skogsfond SEK 2005-09-30 1 1 26,85 26,85 26,85 26,85 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-03 1 1 26,95 26,95 26,95 26,95 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-04 1 1 27,03 27,03 27,03 27,03 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-05 1 1 26,61 26,61 26,61 26,61 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-06 1 1 25,87 25,87 25,87 25,87 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-07 1 1 25,8 25,8 25,8 25,8 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-10 1 1 25,87 25,87 25,87 25,87 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-11 1 1 25,88 25,88 25,88 25,88 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-12 1 1 25,62 25,62 25,62 25,62 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-13 1 1 25,39 25,39 25,39 25,39 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-14 1 1 25,32 25,32 25,32 25,32 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-17 1 1 25,5 25,5 25,5 25,5 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-18 1 1 25,62 25,62 25,62 25,62 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-19 1 1 25,2 25,2 25,2 25,2 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-20 1 1 25,38 25,38 25,38 25,38 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-21 1 1 25,09 25,09 25,09 25,09 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-24 1 1 25,53 25,53 25,53 25,53 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-25 1 1 25,49 25,49 25,49 25,49 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-26 1 1 25,48 25,48 25,48 25,48 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-27 1 1 25,34 25,34 25,34 25,34 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-28 1 1 25,24 25,24 25,24 25,24 932590 Robur Fonder AB Robur Skogsfond SEK 2005-10-31 1 1 25,64 25,64 25,64 25,64 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-01 1 1 25,8 25,8 25,8 25,8 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-02 1 1 25,96 25,96 25,96 25,96 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-03 1 1 26,1 26,1 26,1 26,1 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-04 1 1 26,07 26,07 26,07 26,07 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-07 1 1 26,4 26,4 26,4 26,4 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-08 1 1 26,26 26,26 26,26 26,26 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-09 1 1 26,21 26,21 26,21 26,21 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-10 1 1 26,39 26,39 26,39 26,39 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-11 1 1 26,68 26,68 26,68 26,68 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-14 1 1 27,55 27,55 27,55 27,55 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-15 1 1 27,66 27,66 27,66 27,66 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-16 1 1 27,72 27,72 27,72 27,72 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-17 1 1 27,79 27,79 27,79 27,79 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-18 1 1 27,81 27,81 27,81 27,81 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-21 1 1 27,76 27,76 27,76 27,76 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-22 1 1 27,91 27,91 27,91 27,91 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-23 1 1 27,75 27,75 27,75 27,75 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-24 1 1 27,65 27,65 27,65 27,65 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-25 1 1 27,59 27,59 27,59 27,59 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-28 1 1 27,61 27,61 27,61 27,61 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-29 1 1 27,68 27,68 27,68 27,68 932590 Robur Fonder AB Robur Skogsfond SEK 2005-11-30 1 1 27,68 27,68 27,68 27,68 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-01 1 1 27,92 27,92 27,92 27,92 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-02 1 1 28,28 28,28 28,28 28,28 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-05 1 1 28,01 28,01 28,01 28,01 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-06 1 1 27,96 27,96 27,96 27,96 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-07 1 1 28,23 28,23 28,23 28,23 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-08 1 1 28,25 28,25 28,25 28,25 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-12 1 1 27,09 27,09 27,09 27,09 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-13 1 1 27,11 27,11 27,11 27,11 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-14 1 1 27,06 27,06 27,06 27,06 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-15 1 1 26,98 26,98 26,98 26,98 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-16 1 1 27,13 27,13 27,13 27,13 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-19 1 1 27,06 27,06 27,06 27,06 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-20 1 1 27,11 27,11 27,11 27,11 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-21 1 1 27,56 27,56 27,56 27,56 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-22 1 1 27,7 27,7 27,7 27,7 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-23 1 1 27,82 27,82 27,82 27,82 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-27 1 1 27,89 27,89 27,89 27,89 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-28 1 1 27,54 27,54 27,54 27,54 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-29 1 1 27,8 27,8 27,8 27,8 932590 Robur Fonder AB Robur Skogsfond SEK 2005-12-30 1 1 27,78 27,78 27,78 27,78 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-03 1 1 12,77 12,77 12,77 12,77 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-04 1 1 12,88 12,88 12,88 12,88 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-05 1 1 12,8 12,8 12,8 12,8 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-07 1 1 12,86 12,86 12,86 12,86 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-10 1 1 12,91 12,91 12,91 12,91 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-11 1 1 12,83 12,83 12,83 12,83 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-12 1 1 12,88 12,88 12,88 12,88 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-13 1 1 12,91 12,91 12,91 12,91 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-14 1 1 12,96 12,96 12,96 12,96 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-17 1 1 13,03 13,03 13,03 13,03 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-18 1 1 13,05 13,05 13,05 13,05 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-19 1 1 13,11 13,11 13,11 13,11 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-20 1 1 13,08 13,08 13,08 13,08 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-21 1 1 13,16 13,16 13,16 13,16 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-24 1 1 13,15 13,15 13,15 13,15 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-25 1 1 13,22 13,22 13,22 13,22 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-26 1 1 13,3 13,3 13,3 13,3 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-27 1 1 13,34 13,34 13,34 13,34 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-28 1 1 13,38 13,38 13,38 13,38 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-01-31 1 1 13,42 13,42 13,42 13,42 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-01 1 1 13,5 13,5 13,5 13,5 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-02 1 1 13,5 13,5 13,5 13,5 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-03 1 1 13,6 13,6 13,6 13,6 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-04 1 1 13,69 13,69 13,69 13,69 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-07 1 1 13,79 13,79 13,79 13,79 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-08 1 1 13,82 13,82 13,82 13,82 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-09 1 1 13,8 13,8 13,8 13,8 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-10 1 1 13,85 13,85 13,85 13,85 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-11 1 1 13,88 13,88 13,88 13,88 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-14 1 1 13,95 13,95 13,95 13,95 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-15 1 1 13,97 13,97 13,97 13,97 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-16 1 1 13,9 13,9 13,9 13,9 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-17 1 1 14 14 14 14 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-18 1 1 13,99 13,99 13,99 13,99 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-21 1 1 14 14 14 14 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-22 1 1 13,87 13,87 13,87 13,87 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-23 1 1 13,79 13,79 13,79 13,79 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-24 1 1 13,8 13,8 13,8 13,8 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-25 1 1 13,96 13,96 13,96 13,96 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-02-28 1 1 13,95 13,95 13,95 13,95 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-01 1 1 14,01 14,01 14,01 14,01 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-02 1 1 14 14 14 14 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-03 1 1 13,97 13,97 13,97 13,97 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-04 1 1 14,01 14,01 14,01 14,01 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-07 1 1 14,02 14,02 14,02 14,02 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-08 1 1 13,98 13,98 13,98 13,98 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-09 1 1 14 14 14 14 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-10 1 1 13,94 13,94 13,94 13,94 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-11 1 1 14,01 14,01 14,01 14,01 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-14 1 1 14,01 14,01 14,01 14,01 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-15 1 1 14,06 14,06 14,06 14,06 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-16 1 1 13,98 13,98 13,98 13,98 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-17 1 1 13,9 13,9 13,9 13,9 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-18 1 1 14,01 14,01 14,01 14,01 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-21 1 1 14,01 14,01 14,01 14,01 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-22 1 1 13,96 13,96 13,96 13,96 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-23 1 1 13,82 13,82 13,82 13,82 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-24 1 1 13,86 13,86 13,86 13,86 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-29 1 1 13,89 13,89 13,89 13,89 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-30 1 1 13,89 13,89 13,89 13,89 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-03-31 1 1 14 14 14 14 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-01 1 1 14,1 14,1 14,1 14,1 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-04 1 1 14,12 14,12 14,12 14,12 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-05 1 1 14,2 14,2 14,2 14,2 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-06 1 1 14,26 14,26 14,26 14,26 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-07 1 1 14,3 14,3 14,3 14,3 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-08 1 1 14,41 14,41 14,41 14,41 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-11 1 1 14,36 14,36 14,36 14,36 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-12 1 1 14,35 14,35 14,35 14,35 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-13 1 1 14,42 14,42 14,42 14,42 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-14 1 1 14,42 14,42 14,42 14,42 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-15 1 1 14,23 14,23 14,23 14,23 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-18 1 1 13,92 13,92 13,92 13,92 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-19 1 1 14,03 14,03 14,03 14,03 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-20 1 1 14,05 14,05 14,05 14,05 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-21 1 1 14 14 14 14 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-22 1 1 14,05 14,05 14,05 14,05 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-25 1 1 13,99 13,99 13,99 13,99 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-26 1 1 13,92 13,92 13,92 13,92 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-27 1 1 13,73 13,73 13,73 13,73 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-28 1 1 13,64 13,64 13,64 13,64 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-04-29 1 1 13,67 13,67 13,67 13,67 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-02 1 1 13,76 13,76 13,76 13,76 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-03 1 1 13,8 13,8 13,8 13,8 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-04 1 1 13,68 13,68 13,68 13,68 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-06 1 1 13,79 13,79 13,79 13,79 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-09 1 1 13,82 13,82 13,82 13,82 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-10 1 1 13,85 13,85 13,85 13,85 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-11 1 1 13,89 13,89 13,89 13,89 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-12 1 1 13,97 13,97 13,97 13,97 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-13 1 1 13,97 13,97 13,97 13,97 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-16 1 1 13,98 13,98 13,98 13,98 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-17 1 1 13,99 13,99 13,99 13,99 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-18 1 1 14,03 14,03 14,03 14,03 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-19 1 1 14,16 14,16 14,16 14,16 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-20 1 1 14,14 14,14 14,14 14,14 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-23 1 1 14,21 14,21 14,21 14,21 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-24 1 1 14,24 14,24 14,24 14,24 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-25 1 1 14,31 14,31 14,31 14,31 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-26 1 1 14,45 14,45 14,45 14,45 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-27 1 1 14,46 14,46 14,46 14,46 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-30 1 1 14,54 14,54 14,54 14,54 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-05-31 1 1 14,58 14,58 14,58 14,58 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-01 1 1 14,6 14,6 14,6 14,6 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-02 1 1 14,66 14,66 14,66 14,66 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-03 1 1 14,69 14,69 14,69 14,69 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-07 1 1 14,78 14,78 14,78 14,78 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-08 1 1 14,91 14,91 14,91 14,91 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-09 1 1 15 15 15 15 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-10 1 1 15,17 15,17 15,17 15,17 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-13 1 1 15,36 15,36 15,36 15,36 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-14 1 1 15,42 15,42 15,42 15,42 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-15 1 1 15,42 15,42 15,42 15,42 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-16 1 1 15,44 15,44 15,44 15,44 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-17 1 1 15,34 15,34 15,34 15,34 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-20 1 1 15,29 15,29 15,29 15,29 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-21 1 1 15,3 15,3 15,3 15,3 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-22 1 1 15,38 15,38 15,38 15,38 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-23 1 1 15,54 15,54 15,54 15,54 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-27 1 1 15,4 15,4 15,4 15,4 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-28 1 1 15,55 15,55 15,55 15,55 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-29 1 1 15,67 15,67 15,67 15,67 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-06-30 1 1 15,72 15,72 15,72 15,72 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-01 1 1 15,83 15,83 15,83 15,83 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-04 1 1 15,86 15,86 15,86 15,86 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-05 1 1 15,72 15,72 15,72 15,72 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-06 1 1 15,8 15,8 15,8 15,8 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-07 1 1 15,66 15,66 15,66 15,66 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-08 1 1 15,94 15,94 15,94 15,94 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-11 1 1 16,1 16,1 16,1 16,1 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-12 1 1 16,03 16,03 16,03 16,03 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-13 1 1 15,96 15,96 15,96 15,96 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-14 1 1 16,01 16,01 16,01 16,01 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-15 1 1 15,93 15,93 15,93 15,93 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-18 1 1 15,93 15,93 15,93 15,93 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-19 1 1 15,97 15,97 15,97 15,97 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-20 1 1 15,97 15,97 15,97 15,97 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-21 1 1 16,05 16,05 16,05 16,05 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-22 1 1 16,09 16,09 16,09 16,09 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-25 1 1 16,13 16,13 16,13 16,13 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-26 1 1 16,25 16,25 16,25 16,25 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-27 1 1 16,39 16,39 16,39 16,39 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-28 1 1 16,4 16,4 16,4 16,4 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-07-29 1 1 16,42 16,42 16,42 16,42 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-01 1 1 16,52 16,52 16,52 16,52 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-02 1 1 16,53 16,53 16,53 16,53 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-03 1 1 16,58 16,58 16,58 16,58 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-04 1 1 16,48 16,48 16,48 16,48 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-05 1 1 16,43 16,43 16,43 16,43 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-08 1 1 16,48 16,48 16,48 16,48 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-09 1 1 16,58 16,58 16,58 16,58 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-10 1 1 16,62 16,62 16,62 16,62 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-11 1 1 16,57 16,57 16,57 16,57 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-12 1 1 16,63 16,63 16,63 16,63 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-15 1 1 16,62 16,62 16,62 16,62 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-16 1 1 16,64 16,64 16,64 16,64 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-17 1 1 16,56 16,56 16,56 16,56 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-18 1 1 16,54 16,54 16,54 16,54 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-19 1 1 16,65 16,65 16,65 16,65 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-22 1 1 16,69 16,69 16,69 16,69 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-23 1 1 16,64 16,64 16,64 16,64 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-24 1 1 16,58 16,58 16,58 16,58 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-25 1 1 16,51 16,51 16,51 16,51 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-26 1 1 16,47 16,47 16,47 16,47 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-29 1 1 16,54 16,54 16,54 16,54 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-30 1 1 16,64 16,64 16,64 16,64 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-08-31 1 1 16,72 16,72 16,72 16,72 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-01 1 1 16,9 16,9 16,9 16,9 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-02 1 1 16,83 16,83 16,83 16,83 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-05 1 1 16,87 16,87 16,87 16,87 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-06 1 1 16,96 16,96 16,96 16,96 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-07 1 1 17,05 17,05 17,05 17,05 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-08 1 1 17,09 17,09 17,09 17,09 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-09 1 1 17,22 17,22 17,22 17,22 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-12 1 1 17,26 17,26 17,26 17,26 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-13 1 1 17,19 17,19 17,19 17,19 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-14 1 1 17,23 17,23 17,23 17,23 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-15 1 1 17,31 17,31 17,31 17,31 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-16 1 1 17,38 17,38 17,38 17,38 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-19 1 1 17,49 17,49 17,49 17,49 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-20 1 1 17,64 17,64 17,64 17,64 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-21 1 1 17,61 17,61 17,61 17,61 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-22 1 1 17,51 17,51 17,51 17,51 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-23 1 1 17,47 17,47 17,47 17,47 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-26 1 1 17,65 17,65 17,65 17,65 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-27 1 1 17,72 17,72 17,72 17,72 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-28 1 1 17,76 17,76 17,76 17,76 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-29 1 1 17,72 17,72 17,72 17,72 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-09-30 1 1 17,71 17,71 17,71 17,71 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-03 1 1 17,85 17,85 17,85 17,85 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-04 1 1 17,89 17,89 17,89 17,89 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-05 1 1 17,74 17,74 17,74 17,74 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-06 1 1 17,43 17,43 17,43 17,43 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-07 1 1 17,41 17,41 17,41 17,41 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-10 1 1 17,43 17,43 17,43 17,43 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-11 1 1 17,45 17,45 17,45 17,45 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-12 1 1 17,38 17,38 17,38 17,38 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-13 1 1 17,03 17,03 17,03 17,03 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-14 1 1 17,03 17,03 17,03 17,03 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-17 1 1 17,14 17,14 17,14 17,14 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-18 1 1 17,05 17,05 17,05 17,05 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-19 1 1 16,54 16,54 16,54 16,54 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-20 1 1 16,8 16,8 16,8 16,8 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-21 1 1 16,53 16,53 16,53 16,53 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-24 1 1 16,96 16,96 16,96 16,96 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-25 1 1 16,97 16,97 16,97 16,97 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-26 1 1 17 17 17 17 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-27 1 1 16,83 16,83 16,83 16,83 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-28 1 1 16,76 16,76 16,76 16,76 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-10-31 1 1 17,15 17,15 17,15 17,15 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-01 1 1 17,32 17,32 17,32 17,32 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-02 1 1 17,46 17,46 17,46 17,46 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-03 1 1 17,66 17,66 17,66 17,66 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-04 1 1 17,64 17,64 17,64 17,64 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-07 1 1 17,68 17,68 17,68 17,68 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-08 1 1 17,59 17,59 17,59 17,59 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-09 1 1 17,68 17,68 17,68 17,68 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-10 1 1 17,8 17,8 17,8 17,8 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-11 1 1 17,72 17,72 17,72 17,72 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-14 1 1 17,78 17,78 17,78 17,78 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-15 1 1 17,81 17,81 17,81 17,81 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-16 1 1 17,65 17,65 17,65 17,65 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-17 1 1 17,78 17,78 17,78 17,78 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-18 1 1 17,74 17,74 17,74 17,74 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-21 1 1 17,74 17,74 17,74 17,74 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-22 1 1 17,84 17,84 17,84 17,84 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-23 1 1 17,82 17,82 17,82 17,82 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-24 1 1 17,84 17,84 17,84 17,84 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-25 1 1 17,78 17,78 17,78 17,78 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-28 1 1 17,77 17,77 17,77 17,77 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-29 1 1 17,82 17,82 17,82 17,82 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-11-30 1 1 17,95 17,95 17,95 17,95 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-01 1 1 18,04 18,04 18,04 18,04 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-02 1 1 18,13 18,13 18,13 18,13 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-05 1 1 18,17 18,17 18,17 18,17 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-06 1 1 18,05 18,05 18,05 18,05 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-07 1 1 18,19 18,19 18,19 18,19 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-08 1 1 18,2 18,2 18,2 18,2 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-12 1 1 18,07 18,07 18,07 18,07 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-13 1 1 18,04 18,04 18,04 18,04 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-14 1 1 17,97 17,97 17,97 17,97 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-15 1 1 17,99 17,99 17,99 17,99 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-16 1 1 18,11 18,11 18,11 18,11 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-19 1 1 18 18 18 18 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-20 1 1 18,03 18,03 18,03 18,03 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-21 1 1 18,15 18,15 18,15 18,15 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-22 1 1 18,33 18,33 18,33 18,33 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-23 1 1 18,38 18,38 18,38 18,38 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-27 1 1 18,46 18,46 18,46 18,46 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-28 1 1 18,32 18,32 18,32 18,32 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-29 1 1 18,43 18,43 18,43 18,43 896761 Robur Fonder AB Robur Småbolagsfond Europa SEK 2005-12-30 1 1 18,45 18,45 18,45 18,45 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-03 1 1 41,17 41,17 41,17 41,17 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-04 1 1 41,27 41,27 41,27 41,27 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-05 1 1 41,01 41,01 41,01 41,01 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-07 1 1 41,2 41,2 41,2 41,2 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-10 1 1 41,47 41,47 41,47 41,47 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-11 1 1 41,36 41,36 41,36 41,36 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-12 1 1 41,32 41,32 41,32 41,32 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-13 1 1 41,49 41,49 41,49 41,49 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-14 1 1 41,57 41,57 41,57 41,57 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-17 1 1 41,95 41,95 41,95 41,95 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-18 1 1 41,94 41,94 41,94 41,94 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-19 1 1 42,17 42,17 42,17 42,17 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-20 1 1 41,76 41,76 41,76 41,76 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-21 1 1 41,89 41,89 41,89 41,89 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-24 1 1 41,77 41,77 41,77 41,77 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-25 1 1 42,13 42,13 42,13 42,13 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-26 1 1 42,34 42,34 42,34 42,34 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-27 1 1 42,4 42,4 42,4 42,4 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-28 1 1 42,51 42,51 42,51 42,51 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-01-31 1 1 42,52 42,52 42,52 42,52 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-01 1 1 42,87 42,87 42,87 42,87 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-02 1 1 43,16 43,16 43,16 43,16 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-03 1 1 43,4 43,4 43,4 43,4 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-04 1 1 43,64 43,64 43,64 43,64 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-07 1 1 44,1 44,1 44,1 44,1 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-08 1 1 43,98 43,98 43,98 43,98 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-09 1 1 44,02 44,02 44,02 44,02 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-10 1 1 43,88 43,88 43,88 43,88 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-11 1 1 44,02 44,02 44,02 44,02 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-14 1 1 44,24 44,24 44,24 44,24 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-15 1 1 44,47 44,47 44,47 44,47 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-16 1 1 44,42 44,42 44,42 44,42 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-17 1 1 44,86 44,86 44,86 44,86 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-18 1 1 44,92 44,92 44,92 44,92 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-21 1 1 45,07 45,07 45,07 45,07 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-22 1 1 44,81 44,81 44,81 44,81 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-23 1 1 44,9 44,9 44,9 44,9 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-24 1 1 45,16 45,16 45,16 45,16 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-25 1 1 45,44 45,44 45,44 45,44 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-02-28 1 1 45,57 45,57 45,57 45,57 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-01 1 1 45,61 45,61 45,61 45,61 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-02 1 1 45,81 45,81 45,81 45,81 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-03 1 1 46,02 46,02 46,02 46,02 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-04 1 1 46,36 46,36 46,36 46,36 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-07 1 1 46,6 46,6 46,6 46,6 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-08 1 1 46,52 46,52 46,52 46,52 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-09 1 1 46,49 46,49 46,49 46,49 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-10 1 1 46,2 46,2 46,2 46,2 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-11 1 1 46,32 46,32 46,32 46,32 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-14 1 1 46,28 46,28 46,28 46,28 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-15 1 1 46,45 46,45 46,45 46,45 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-16 1 1 46,19 46,19 46,19 46,19 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-17 1 1 46,33 46,33 46,33 46,33 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-18 1 1 46,46 46,46 46,46 46,46 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-21 1 1 46,51 46,51 46,51 46,51 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-22 1 1 46,43 46,43 46,43 46,43 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-23 1 1 46,09 46,09 46,09 46,09 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-24 1 1 46,19 46,19 46,19 46,19 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-29 1 1 46,27 46,27 46,27 46,27 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-30 1 1 46,12 46,12 46,12 46,12 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-03-31 1 1 46,51 46,51 46,51 46,51 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-01 1 1 46,9 46,9 46,9 46,9 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-04 1 1 46,95 46,95 46,95 46,95 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-05 1 1 47,32 47,32 47,32 47,32 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-06 1 1 47,63 47,63 47,63 47,63 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-07 1 1 47,96 47,96 47,96 47,96 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-08 1 1 48,27 48,27 48,27 48,27 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-11 1 1 48,04 48,04 48,04 48,04 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-12 1 1 48,13 48,13 48,13 48,13 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-13 1 1 48,34 48,34 48,34 48,34 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-14 1 1 48,19 48,19 48,19 48,19 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-15 1 1 47,44 47,44 47,44 47,44 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-18 1 1 46,45 46,45 46,45 46,45 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-19 1 1 46,77 46,77 46,77 46,77 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-20 1 1 46,92 46,92 46,92 46,92 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-21 1 1 46,76 46,76 46,76 46,76 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-22 1 1 46,91 46,91 46,91 46,91 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-25 1 1 46,87 46,87 46,87 46,87 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-26 1 1 46,8 46,8 46,8 46,8 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-27 1 1 45,86 45,86 45,86 45,86 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-28 1 1 45,38 45,38 45,38 45,38 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-04-29 1 1 45,56 45,56 45,56 45,56 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-02 1 1 45,98 45,98 45,98 45,98 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-03 1 1 46,03 46,03 46,03 46,03 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-04 1 1 45,77 45,77 45,77 45,77 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-06 1 1 46,31 46,31 46,31 46,31 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-09 1 1 46,48 46,48 46,48 46,48 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-10 1 1 46,49 46,49 46,49 46,49 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-11 1 1 46,5 46,5 46,5 46,5 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-12 1 1 46,68 46,68 46,68 46,68 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-13 1 1 46,58 46,58 46,58 46,58 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-16 1 1 46,8 46,8 46,8 46,8 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-17 1 1 46,8 46,8 46,8 46,8 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-18 1 1 47,09 47,09 47,09 47,09 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-19 1 1 47,34 47,34 47,34 47,34 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-20 1 1 47,48 47,48 47,48 47,48 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-23 1 1 47,73 47,73 47,73 47,73 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-24 1 1 48,01 48,01 48,01 48,01 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-25 1 1 48,02 48,02 48,02 48,02 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-26 1 1 48,51 48,51 48,51 48,51 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-27 1 1 48,65 48,65 48,65 48,65 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-30 1 1 48,75 48,75 48,75 48,75 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-05-31 1 1 48,87 48,87 48,87 48,87 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-01 1 1 49,04 49,04 49,04 49,04 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-02 1 1 49,13 49,13 49,13 49,13 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-03 1 1 49,19 49,19 49,19 49,19 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-07 1 1 49,57 49,57 49,57 49,57 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-08 1 1 50,01 50,01 50,01 50,01 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-09 1 1 50,24 50,24 50,24 50,24 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-10 1 1 50,81 50,81 50,81 50,81 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-13 1 1 51,24 51,24 51,24 51,24 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-14 1 1 51,43 51,43 51,43 51,43 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-15 1 1 51,4 51,4 51,4 51,4 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-16 1 1 51,51 51,51 51,51 51,51 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-17 1 1 51,62 51,62 51,62 51,62 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-20 1 1 51,87 51,87 51,87 51,87 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-21 1 1 52,02 52,02 52,02 52,02 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-22 1 1 52,29 52,29 52,29 52,29 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-23 1 1 52,66 52,66 52,66 52,66 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-27 1 1 52,16 52,16 52,16 52,16 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-28 1 1 52,73 52,73 52,73 52,73 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-29 1 1 53,13 53,13 53,13 53,13 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-06-30 1 1 53,34 53,34 53,34 53,34 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-01 1 1 53,72 53,72 53,72 53,72 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-04 1 1 53,95 53,95 53,95 53,95 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-05 1 1 53,95 53,95 53,95 53,95 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-06 1 1 53,94 53,94 53,94 53,94 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-07 1 1 53,37 53,37 53,37 53,37 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-08 1 1 54,33 54,33 54,33 54,33 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-11 1 1 54,91 54,91 54,91 54,91 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-12 1 1 54,84 54,84 54,84 54,84 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-13 1 1 54,83 54,83 54,83 54,83 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-14 1 1 54,94 54,94 54,94 54,94 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-15 1 1 54,71 54,71 54,71 54,71 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-18 1 1 54,78 54,78 54,78 54,78 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-19 1 1 54,77 54,77 54,77 54,77 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-20 1 1 54,86 54,86 54,86 54,86 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-21 1 1 54,98 54,98 54,98 54,98 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-22 1 1 55,12 55,12 55,12 55,12 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-25 1 1 55,28 55,28 55,28 55,28 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-26 1 1 55,48 55,48 55,48 55,48 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-27 1 1 55,78 55,78 55,78 55,78 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-28 1 1 56,07 56,07 56,07 56,07 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-07-29 1 1 56,32 56,32 56,32 56,32 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-01 1 1 56,59 56,59 56,59 56,59 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-02 1 1 56,74 56,74 56,74 56,74 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-03 1 1 56,97 56,97 56,97 56,97 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-04 1 1 56,63 56,63 56,63 56,63 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-05 1 1 56,71 56,71 56,71 56,71 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-08 1 1 56,94 56,94 56,94 56,94 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-09 1 1 57,18 57,18 57,18 57,18 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-10 1 1 57,23 57,23 57,23 57,23 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-11 1 1 56,97 56,97 56,97 56,97 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-12 1 1 57,1 57,1 57,1 57,1 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-15 1 1 57,09 57,09 57,09 57,09 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-16 1 1 57,04 57,04 57,04 57,04 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-17 1 1 56,82 56,82 56,82 56,82 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-18 1 1 56,88 56,88 56,88 56,88 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-19 1 1 57,47 57,47 57,47 57,47 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-22 1 1 57,85 57,85 57,85 57,85 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-23 1 1 57,75 57,75 57,75 57,75 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-24 1 1 57,12 57,12 57,12 57,12 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-25 1 1 56,96 56,96 56,96 56,96 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-26 1 1 57,03 57,03 57,03 57,03 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-29 1 1 57,11 57,11 57,11 57,11 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-30 1 1 57,64 57,64 57,64 57,64 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-08-31 1 1 58,06 58,06 58,06 58,06 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-01 1 1 58,76 58,76 58,76 58,76 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-02 1 1 58,52 58,52 58,52 58,52 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-05 1 1 58,61 58,61 58,61 58,61 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-06 1 1 59,08 59,08 59,08 59,08 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-07 1 1 59,37 59,37 59,37 59,37 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-08 1 1 59,34 59,34 59,34 59,34 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-09 1 1 59,73 59,73 59,73 59,73 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-12 1 1 59,81 59,81 59,81 59,81 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-13 1 1 59,67 59,67 59,67 59,67 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-14 1 1 59,9 59,9 59,9 59,9 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-15 1 1 60,14 60,14 60,14 60,14 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-16 1 1 60,47 60,47 60,47 60,47 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-19 1 1 60,85 60,85 60,85 60,85 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-20 1 1 61 61 61 61 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-21 1 1 60,97 60,97 60,97 60,97 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-22 1 1 60,99 60,99 60,99 60,99 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-23 1 1 61,11 61,11 61,11 61,11 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-26 1 1 61,29 61,29 61,29 61,29 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-27 1 1 61,39 61,39 61,39 61,39 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-28 1 1 61,51 61,51 61,51 61,51 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-29 1 1 61,53 61,53 61,53 61,53 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-09-30 1 1 61,64 61,64 61,64 61,64 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-03 1 1 61,8 61,8 61,8 61,8 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-04 1 1 61,77 61,77 61,77 61,77 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-05 1 1 61,4 61,4 61,4 61,4 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-06 1 1 60,04 60,04 60,04 60,04 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-07 1 1 60,21 60,21 60,21 60,21 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-10 1 1 60,61 60,61 60,61 60,61 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-11 1 1 60,8 60,8 60,8 60,8 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-12 1 1 60,6 60,6 60,6 60,6 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-13 1 1 59,07 59,07 59,07 59,07 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-14 1 1 58,5 58,5 58,5 58,5 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-17 1 1 58,85 58,85 58,85 58,85 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-18 1 1 58,34 58,34 58,34 58,34 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-19 1 1 56,62 56,62 56,62 56,62 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-20 1 1 57,27 57,27 57,27 57,27 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-21 1 1 56,49 56,49 56,49 56,49 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-24 1 1 57,9 57,9 57,9 57,9 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-25 1 1 58,22 58,22 58,22 58,22 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-26 1 1 58,6 58,6 58,6 58,6 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-27 1 1 58,05 58,05 58,05 58,05 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-28 1 1 57,93 57,93 57,93 57,93 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-10-31 1 1 58,97 58,97 58,97 58,97 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-01 1 1 59,41 59,41 59,41 59,41 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-02 1 1 59,76 59,76 59,76 59,76 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-03 1 1 60,43 60,43 60,43 60,43 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-04 1 1 60,45 60,45 60,45 60,45 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-07 1 1 60,61 60,61 60,61 60,61 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-08 1 1 60,26 60,26 60,26 60,26 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-09 1 1 60,61 60,61 60,61 60,61 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-10 1 1 60,91 60,91 60,91 60,91 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-11 1 1 60,84 60,84 60,84 60,84 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-14 1 1 61 61 61 61 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-15 1 1 61,17 61,17 61,17 61,17 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-16 1 1 60,87 60,87 60,87 60,87 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-17 1 1 61,36 61,36 61,36 61,36 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-18 1 1 61,29 61,29 61,29 61,29 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-21 1 1 61,36 61,36 61,36 61,36 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-22 1 1 61,75 61,75 61,75 61,75 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-23 1 1 61,53 61,53 61,53 61,53 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-24 1 1 61,5 61,5 61,5 61,5 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-25 1 1 61,74 61,74 61,74 61,74 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-28 1 1 61,71 61,71 61,71 61,71 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-29 1 1 61,79 61,79 61,79 61,79 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-11-30 1 1 62,15 62,15 62,15 62,15 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-01 1 1 62,55 62,55 62,55 62,55 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-02 1 1 62,94 62,94 62,94 62,94 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-05 1 1 63,19 63,19 63,19 63,19 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-06 1 1 63,11 63,11 63,11 63,11 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-07 1 1 63,52 63,52 63,52 63,52 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-08 1 1 63,65 63,65 63,65 63,65 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-12 1 1 63,09 63,09 63,09 63,09 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-13 1 1 63,37 63,37 63,37 63,37 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-14 1 1 63,34 63,34 63,34 63,34 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-15 1 1 63,32 63,32 63,32 63,32 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-16 1 1 63,67 63,67 63,67 63,67 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-19 1 1 63,62 63,62 63,62 63,62 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-20 1 1 63,64 63,64 63,64 63,64 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-21 1 1 64,18 64,18 64,18 64,18 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-22 1 1 64,83 64,83 64,83 64,83 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-23 1 1 65,15 65,15 65,15 65,15 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-27 1 1 65,56 65,56 65,56 65,56 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-28 1 1 65,46 65,46 65,46 65,46 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-29 1 1 65,75 65,75 65,75 65,75 860932 Robur Fonder AB Robur Småbolagsfond Norden SEK 2005-12-30 1 1 65,86 65,86 65,86 65,86 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-03 1 1 24,43 24,43 24,43 24,43 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-04 1 1 24,46 24,46 24,46 24,46 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-05 1 1 24,39 24,39 24,39 24,39 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-07 1 1 24,48 24,48 24,48 24,48 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-10 1 1 24,62 24,62 24,62 24,62 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-11 1 1 24,64 24,64 24,64 24,64 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-12 1 1 24,5 24,5 24,5 24,5 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-13 1 1 24,54 24,54 24,54 24,54 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-14 1 1 24,57 24,57 24,57 24,57 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-17 1 1 24,71 24,71 24,71 24,71 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-18 1 1 24,7 24,7 24,7 24,7 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-19 1 1 24,93 24,93 24,93 24,93 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-20 1 1 24,81 24,81 24,81 24,81 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-21 1 1 24,78 24,78 24,78 24,78 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-24 1 1 24,64 24,64 24,64 24,64 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-25 1 1 24,84 24,84 24,84 24,84 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-26 1 1 24,93 24,93 24,93 24,93 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-27 1 1 24,88 24,88 24,88 24,88 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-28 1 1 24,91 24,91 24,91 24,91 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-01-31 1 1 25,02 25,02 25,02 25,02 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-01 1 1 25,17 25,17 25,17 25,17 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-02 1 1 25,33 25,33 25,33 25,33 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-03 1 1 25,38 25,38 25,38 25,38 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-04 1 1 25,53 25,53 25,53 25,53 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-07 1 1 25,81 25,81 25,81 25,81 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-08 1 1 25,9 25,9 25,9 25,9 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-09 1 1 25,98 25,98 25,98 25,98 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-10 1 1 25,85 25,85 25,85 25,85 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-11 1 1 25,93 25,93 25,93 25,93 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-14 1 1 26,03 26,03 26,03 26,03 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-15 1 1 26,12 26,12 26,12 26,12 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-16 1 1 26,12 26,12 26,12 26,12 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-17 1 1 26,4 26,4 26,4 26,4 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-18 1 1 26,43 26,43 26,43 26,43 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-21 1 1 26,49 26,49 26,49 26,49 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-22 1 1 26,37 26,37 26,37 26,37 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-23 1 1 26,44 26,44 26,44 26,44 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-24 1 1 26,65 26,65 26,65 26,65 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-25 1 1 26,9 26,9 26,9 26,9 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-02-28 1 1 27,03 27,03 27,03 27,03 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-01 1 1 27,06 27,06 27,06 27,06 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-02 1 1 27,2 27,2 27,2 27,2 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-03 1 1 27,42 27,42 27,42 27,42 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-04 1 1 27,58 27,58 27,58 27,58 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-07 1 1 27,56 27,56 27,56 27,56 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-08 1 1 27,54 27,54 27,54 27,54 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-09 1 1 27,49 27,49 27,49 27,49 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-10 1 1 27,29 27,29 27,29 27,29 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-11 1 1 27,32 27,32 27,32 27,32 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-14 1 1 27,32 27,32 27,32 27,32 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-15 1 1 27,46 27,46 27,46 27,46 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-16 1 1 27,41 27,41 27,41 27,41 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-17 1 1 27,4 27,4 27,4 27,4 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-18 1 1 27,4 27,4 27,4 27,4 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-21 1 1 27,41 27,41 27,41 27,41 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-22 1 1 27,5 27,5 27,5 27,5 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-23 1 1 27,35 27,35 27,35 27,35 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-24 1 1 27,58 27,58 27,58 27,58 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-29 1 1 27,53 27,53 27,53 27,53 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-30 1 1 27,41 27,41 27,41 27,41 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-03-31 1 1 27,59 27,59 27,59 27,59 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-01 1 1 27,77 27,77 27,77 27,77 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-04 1 1 27,74 27,74 27,74 27,74 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-05 1 1 27,96 27,96 27,96 27,96 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-06 1 1 28,21 28,21 28,21 28,21 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-07 1 1 28,26 28,26 28,26 28,26 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-08 1 1 28,38 28,38 28,38 28,38 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-11 1 1 28,32 28,32 28,32 28,32 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-12 1 1 28,32 28,32 28,32 28,32 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-13 1 1 28,49 28,49 28,49 28,49 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-14 1 1 28,42 28,42 28,42 28,42 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-15 1 1 27,99 27,99 27,99 27,99 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-18 1 1 27,45 27,45 27,45 27,45 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-19 1 1 27,73 27,73 27,73 27,73 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-20 1 1 27,81 27,81 27,81 27,81 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-21 1 1 27,69 27,69 27,69 27,69 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-22 1 1 27,72 27,72 27,72 27,72 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-25 1 1 27,65 27,65 27,65 27,65 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-26 1 1 27,57 27,57 27,57 27,57 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-27 1 1 26,96 26,96 26,96 26,96 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-28 1 1 26,61 26,61 26,61 26,61 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-04-29 1 1 26,64 26,64 26,64 26,64 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-02 1 1 26,95 26,95 26,95 26,95 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-03 1 1 26,89 26,89 26,89 26,89 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-04 1 1 26,76 26,76 26,76 26,76 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-06 1 1 26,94 26,94 26,94 26,94 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-09 1 1 26,91 26,91 26,91 26,91 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-10 1 1 26,81 26,81 26,81 26,81 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-11 1 1 26,73 26,73 26,73 26,73 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-12 1 1 26,88 26,88 26,88 26,88 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-13 1 1 26,84 26,84 26,84 26,84 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-16 1 1 26,99 26,99 26,99 26,99 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-17 1 1 27,13 27,13 27,13 27,13 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-18 1 1 27,34 27,34 27,34 27,34 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-19 1 1 27,47 27,47 27,47 27,47 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-20 1 1 27,49 27,49 27,49 27,49 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-23 1 1 27,65 27,65 27,65 27,65 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-24 1 1 27,77 27,77 27,77 27,77 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-25 1 1 27,7 27,7 27,7 27,7 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-26 1 1 27,97 27,97 27,97 27,97 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-27 1 1 28,05 28,05 28,05 28,05 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-30 1 1 28,1 28,1 28,1 28,1 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-05-31 1 1 28,16 28,16 28,16 28,16 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-01 1 1 28,08 28,08 28,08 28,08 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-02 1 1 27,97 27,97 27,97 27,97 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-03 1 1 28,03 28,03 28,03 28,03 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-07 1 1 28,26 28,26 28,26 28,26 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-08 1 1 28,47 28,47 28,47 28,47 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-09 1 1 28,5 28,5 28,5 28,5 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-10 1 1 28,72 28,72 28,72 28,72 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-13 1 1 28,96 28,96 28,96 28,96 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-14 1 1 29,06 29,06 29,06 29,06 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-15 1 1 29,05 29,05 29,05 29,05 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-16 1 1 29,04 29,04 29,04 29,04 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-17 1 1 29,14 29,14 29,14 29,14 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-20 1 1 29,2 29,2 29,2 29,2 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-21 1 1 29,24 29,24 29,24 29,24 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-22 1 1 29,35 29,35 29,35 29,35 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-23 1 1 29,42 29,42 29,42 29,42 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-27 1 1 29,09 29,09 29,09 29,09 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-28 1 1 29,35 29,35 29,35 29,35 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-29 1 1 29,47 29,47 29,47 29,47 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-06-30 1 1 29,57 29,57 29,57 29,57 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-01 1 1 29,61 29,61 29,61 29,61 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-04 1 1 29,77 29,77 29,77 29,77 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-05 1 1 29,99 29,99 29,99 29,99 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-06 1 1 29,92 29,92 29,92 29,92 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-07 1 1 29,54 29,54 29,54 29,54 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-08 1 1 29,93 29,93 29,93 29,93 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-11 1 1 30,33 30,33 30,33 30,33 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-12 1 1 30,43 30,43 30,43 30,43 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-13 1 1 30,52 30,52 30,52 30,52 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-14 1 1 30,5 30,5 30,5 30,5 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-15 1 1 30,42 30,42 30,42 30,42 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-18 1 1 30,41 30,41 30,41 30,41 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-19 1 1 30,35 30,35 30,35 30,35 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-20 1 1 30,3 30,3 30,3 30,3 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-21 1 1 30,45 30,45 30,45 30,45 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-22 1 1 30,59 30,59 30,59 30,59 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-25 1 1 30,51 30,51 30,51 30,51 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-26 1 1 30,51 30,51 30,51 30,51 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-27 1 1 30,67 30,67 30,67 30,67 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-28 1 1 30,88 30,88 30,88 30,88 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-07-29 1 1 30,98 30,98 30,98 30,98 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-01 1 1 31,08 31,08 31,08 31,08 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-02 1 1 31,22 31,22 31,22 31,22 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-03 1 1 31,27 31,27 31,27 31,27 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-04 1 1 31,12 31,12 31,12 31,12 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-05 1 1 31,15 31,15 31,15 31,15 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-08 1 1 31,3 31,3 31,3 31,3 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-09 1 1 31,39 31,39 31,39 31,39 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-10 1 1 31,47 31,47 31,47 31,47 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-11 1 1 31,29 31,29 31,29 31,29 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-12 1 1 31,35 31,35 31,35 31,35 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-15 1 1 31,29 31,29 31,29 31,29 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-16 1 1 31,45 31,45 31,45 31,45 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-17 1 1 31,36 31,36 31,36 31,36 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-18 1 1 31,29 31,29 31,29 31,29 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-19 1 1 31,55 31,55 31,55 31,55 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-22 1 1 31,66 31,66 31,66 31,66 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-23 1 1 31,57 31,57 31,57 31,57 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-24 1 1 31,12 31,12 31,12 31,12 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-25 1 1 30,93 30,93 30,93 30,93 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-26 1 1 30,93 30,93 30,93 30,93 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-29 1 1 30,93 30,93 30,93 30,93 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-30 1 1 31,14 31,14 31,14 31,14 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-08-31 1 1 31,27 31,27 31,27 31,27 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-01 1 1 31,45 31,45 31,45 31,45 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-02 1 1 31,41 31,41 31,41 31,41 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-05 1 1 31,6 31,6 31,6 31,6 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-06 1 1 31,81 31,81 31,81 31,81 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-07 1 1 31,97 31,97 31,97 31,97 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-08 1 1 31,96 31,96 31,96 31,96 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-09 1 1 32,17 32,17 32,17 32,17 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-12 1 1 32,18 32,18 32,18 32,18 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-13 1 1 32,07 32,07 32,07 32,07 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-14 1 1 32,17 32,17 32,17 32,17 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-15 1 1 32,25 32,25 32,25 32,25 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-16 1 1 32,3 32,3 32,3 32,3 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-19 1 1 32,51 32,51 32,51 32,51 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-20 1 1 32,44 32,44 32,44 32,44 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-21 1 1 32,4 32,4 32,4 32,4 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-22 1 1 32,38 32,38 32,38 32,38 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-23 1 1 32,47 32,47 32,47 32,47 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-26 1 1 32,71 32,71 32,71 32,71 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-27 1 1 32,9 32,9 32,9 32,9 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-28 1 1 33,04 33,04 33,04 33,04 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-29 1 1 33,04 33,04 33,04 33,04 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-09-30 1 1 33,22 33,22 33,22 33,22 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-03 1 1 33,28 33,28 33,28 33,28 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-04 1 1 33,26 33,26 33,26 33,26 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-05 1 1 33,11 33,11 33,11 33,11 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-06 1 1 32,63 32,63 32,63 32,63 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-07 1 1 32,66 32,66 32,66 32,66 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-10 1 1 32,91 32,91 32,91 32,91 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-11 1 1 33,13 33,13 33,13 33,13 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-12 1 1 32,93 32,93 32,93 32,93 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-13 1 1 32,34 32,34 32,34 32,34 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-14 1 1 32,21 32,21 32,21 32,21 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-17 1 1 32,26 32,26 32,26 32,26 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-18 1 1 32,21 32,21 32,21 32,21 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-19 1 1 31,52 31,52 31,52 31,52 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-20 1 1 31,65 31,65 31,65 31,65 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-21 1 1 31,23 31,23 31,23 31,23 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-24 1 1 31,69 31,69 31,69 31,69 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-25 1 1 32,02 32,02 32,02 32,02 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-26 1 1 32,11 32,11 32,11 32,11 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-27 1 1 31,93 31,93 31,93 31,93 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-28 1 1 31,88 31,88 31,88 31,88 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-10-31 1 1 32,4 32,4 32,4 32,4 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-01 1 1 32,6 32,6 32,6 32,6 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-02 1 1 32,73 32,73 32,73 32,73 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-03 1 1 33,04 33,04 33,04 33,04 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-04 1 1 32,95 32,95 32,95 32,95 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-07 1 1 33,09 33,09 33,09 33,09 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-08 1 1 33,11 33,11 33,11 33,11 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-09 1 1 33,18 33,18 33,18 33,18 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-10 1 1 33,4 33,4 33,4 33,4 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-11 1 1 33,61 33,61 33,61 33,61 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-14 1 1 33,69 33,69 33,69 33,69 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-15 1 1 33,73 33,73 33,73 33,73 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-16 1 1 33,63 33,63 33,63 33,63 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-17 1 1 33,9 33,9 33,9 33,9 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-18 1 1 34,02 34,02 34,02 34,02 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-21 1 1 34,11 34,11 34,11 34,11 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-22 1 1 34,32 34,32 34,32 34,32 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-23 1 1 34,32 34,32 34,32 34,32 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-24 1 1 34,33 34,33 34,33 34,33 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-25 1 1 34,48 34,48 34,48 34,48 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-28 1 1 34,39 34,39 34,39 34,39 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-29 1 1 34,53 34,53 34,53 34,53 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-11-30 1 1 34,5 34,5 34,5 34,5 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-01 1 1 34,77 34,77 34,77 34,77 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-02 1 1 35 35 35 35 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-05 1 1 35,01 35,01 35,01 35,01 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-06 1 1 35,14 35,14 35,14 35,14 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-07 1 1 35,3 35,3 35,3 35,3 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-08 1 1 35,24 35,24 35,24 35,24 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-12 1 1 34,87 34,87 34,87 34,87 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-13 1 1 34,96 34,96 34,96 34,96 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-14 1 1 34,88 34,88 34,88 34,88 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-15 1 1 34,87 34,87 34,87 34,87 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-16 1 1 35,06 35,06 35,06 35,06 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-19 1 1 35,27 35,27 35,27 35,27 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-20 1 1 35,35 35,35 35,35 35,35 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-21 1 1 35,59 35,59 35,59 35,59 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-22 1 1 35,8 35,8 35,8 35,8 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-23 1 1 36 36 36 36 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-27 1 1 36,26 36,26 36,26 36,26 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-28 1 1 36,25 36,25 36,25 36,25 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-29 1 1 36,43 36,43 36,43 36,43 856682 Robur Fonder AB Robur Småbolagsfond Sverige SEK 2005-12-30 1 1 36,48 36,48 36,48 36,48 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-03 1 1 26,02 26,02 26,02 26,02 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-04 1 1 26,16 26,16 26,16 26,16 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-05 1 1 25,91 25,91 25,91 25,91 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-07 1 1 25,99 25,99 25,99 25,99 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-10 1 1 26,27 26,27 26,27 26,27 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-11 1 1 26,1 26,1 26,1 26,1 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-12 1 1 25,77 25,77 25,77 25,77 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-13 1 1 25,69 25,69 25,69 25,69 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-14 1 1 25,81 25,81 25,81 25,81 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-17 1 1 26,02 26,02 26,02 26,02 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-18 1 1 25,83 25,83 25,83 25,83 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-19 1 1 26,05 26,05 26,05 26,05 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-20 1 1 25,78 25,78 25,78 25,78 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-21 1 1 25,74 25,74 25,74 25,74 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-24 1 1 25,45 25,45 25,45 25,45 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-25 1 1 25,74 25,74 25,74 25,74 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-26 1 1 25,81 25,81 25,81 25,81 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-27 1 1 25,91 25,91 25,91 25,91 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-28 1 1 25,84 25,84 25,84 25,84 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-01-31 1 1 26,02 26,02 26,02 26,02 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-01 1 1 26,12 26,12 26,12 26,12 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-02 1 1 26,34 26,34 26,34 26,34 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-03 1 1 26,33 26,33 26,33 26,33 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-04 1 1 26,5 26,5 26,5 26,5 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-07 1 1 26,84 26,84 26,84 26,84 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-08 1 1 26,89 26,89 26,89 26,89 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-09 1 1 26,98 26,98 26,98 26,98 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-10 1 1 26,72 26,72 26,72 26,72 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-11 1 1 26,88 26,88 26,88 26,88 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-14 1 1 26,97 26,97 26,97 26,97 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-15 1 1 27,12 27,12 27,12 27,12 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-16 1 1 26,86 26,86 26,86 26,86 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-17 1 1 27,05 27,05 27,05 27,05 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-18 1 1 26,83 26,83 26,83 26,83 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-21 1 1 26,94 26,94 26,94 26,94 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-22 1 1 26,78 26,78 26,78 26,78 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-23 1 1 26,86 26,86 26,86 26,86 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-24 1 1 26,96 26,96 26,96 26,96 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-25 1 1 27,16 27,16 27,16 27,16 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-02-28 1 1 27,28 27,28 27,28 27,28 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-01 1 1 27,3 27,3 27,3 27,3 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-02 1 1 27,36 27,36 27,36 27,36 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-03 1 1 27,59 27,59 27,59 27,59 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-04 1 1 27,73 27,73 27,73 27,73 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-07 1 1 27,7 27,7 27,7 27,7 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-08 1 1 27,6 27,6 27,6 27,6 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-09 1 1 27,53 27,53 27,53 27,53 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-10 1 1 27,33 27,33 27,33 27,33 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-11 1 1 27,38 27,38 27,38 27,38 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-14 1 1 27,38 27,38 27,38 27,38 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-15 1 1 27,59 27,59 27,59 27,59 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-16 1 1 27,32 27,32 27,32 27,32 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-17 1 1 27,25 27,25 27,25 27,25 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-18 1 1 27,27 27,27 27,27 27,27 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-21 1 1 27,16 27,16 27,16 27,16 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-22 1 1 27,28 27,28 27,28 27,28 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-23 1 1 27,09 27,09 27,09 27,09 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-24 1 1 27,37 27,37 27,37 27,37 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-29 1 1 27,37 27,37 27,37 27,37 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-30 1 1 27,23 27,23 27,23 27,23 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-03-31 1 1 27,44 27,44 27,44 27,44 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-01 1 1 27,52 27,52 27,52 27,52 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-04 1 1 27,47 27,47 27,47 27,47 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-05 1 1 27,75 27,75 27,75 27,75 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-06 1 1 27,88 27,88 27,88 27,88 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-07 1 1 27,96 27,96 27,96 27,96 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-08 1 1 28,1 28,1 28,1 28,1 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-11 1 1 28,18 28,18 28,18 28,18 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-12 1 1 28,15 28,15 28,15 28,15 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-13 1 1 28,34 28,34 28,34 28,34 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-14 1 1 28,45 28,45 28,45 28,45 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-15 1 1 28,04 28,04 28,04 28,04 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-18 1 1 27,63 27,63 27,63 27,63 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-19 1 1 27,73 27,73 27,73 27,73 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-20 1 1 27,76 27,76 27,76 27,76 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-21 1 1 27,74 27,74 27,74 27,74 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-22 1 1 28,02 28,02 28,02 28,02 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-25 1 1 27,99 27,99 27,99 27,99 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-26 1 1 27,76 27,76 27,76 27,76 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-27 1 1 27,18 27,18 27,18 27,18 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-28 1 1 26,97 26,97 26,97 26,97 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-04-29 1 1 26,96 26,96 26,96 26,96 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-02 1 1 27,22 27,22 27,22 27,22 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-03 1 1 27,22 27,22 27,22 27,22 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-04 1 1 27,24 27,24 27,24 27,24 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-06 1 1 27,59 27,59 27,59 27,59 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-09 1 1 27,57 27,57 27,57 27,57 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-10 1 1 27,43 27,43 27,43 27,43 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-11 1 1 27,44 27,44 27,44 27,44 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-12 1 1 27,65 27,65 27,65 27,65 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-13 1 1 27,67 27,67 27,67 27,67 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-16 1 1 27,75 27,75 27,75 27,75 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-17 1 1 27,84 27,84 27,84 27,84 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-18 1 1 28,12 28,12 28,12 28,12 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-19 1 1 28,2 28,2 28,2 28,2 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-20 1 1 28,21 28,21 28,21 28,21 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-23 1 1 28,23 28,23 28,23 28,23 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-24 1 1 28,25 28,25 28,25 28,25 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-25 1 1 28,24 28,24 28,24 28,24 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-26 1 1 28,45 28,45 28,45 28,45 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-27 1 1 28,5 28,5 28,5 28,5 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-30 1 1 28,58 28,58 28,58 28,58 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-05-31 1 1 28,65 28,65 28,65 28,65 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-01 1 1 28,64 28,64 28,64 28,64 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-02 1 1 28,49 28,49 28,49 28,49 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-03 1 1 28,38 28,38 28,38 28,38 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-07 1 1 28,57 28,57 28,57 28,57 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-08 1 1 28,72 28,72 28,72 28,72 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-09 1 1 28,71 28,71 28,71 28,71 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-10 1 1 28,86 28,86 28,86 28,86 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-13 1 1 28,95 28,95 28,95 28,95 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-14 1 1 29,17 29,17 29,17 29,17 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-15 1 1 29,08 29,08 29,08 29,08 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-16 1 1 29,18 29,18 29,18 29,18 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-17 1 1 29,31 29,31 29,31 29,31 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-20 1 1 29,29 29,29 29,29 29,29 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-21 1 1 29,48 29,48 29,48 29,48 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-22 1 1 29,57 29,57 29,57 29,57 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-23 1 1 29,74 29,74 29,74 29,74 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-27 1 1 29,26 29,26 29,26 29,26 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-28 1 1 29,44 29,44 29,44 29,44 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-29 1 1 29,64 29,64 29,64 29,64 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-06-30 1 1 29,72 29,72 29,72 29,72 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-01 1 1 29,89 29,89 29,89 29,89 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-04 1 1 30,03 30,03 30,03 30,03 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-05 1 1 30,04 30,04 30,04 30,04 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-06 1 1 30,01 30,01 30,01 30,01 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-07 1 1 29,54 29,54 29,54 29,54 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-08 1 1 29,95 29,95 29,95 29,95 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-11 1 1 30,39 30,39 30,39 30,39 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-12 1 1 30,45 30,45 30,45 30,45 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-13 1 1 30,65 30,65 30,65 30,65 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-14 1 1 30,67 30,67 30,67 30,67 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-15 1 1 30,62 30,62 30,62 30,62 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-18 1 1 30,66 30,66 30,66 30,66 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-19 1 1 30,68 30,68 30,68 30,68 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-20 1 1 30,53 30,53 30,53 30,53 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-21 1 1 30,76 30,76 30,76 30,76 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-22 1 1 30,85 30,85 30,85 30,85 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-25 1 1 30,75 30,75 30,75 30,75 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-26 1 1 30,87 30,87 30,87 30,87 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-27 1 1 30,93 30,93 30,93 30,93 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-28 1 1 31,13 31,13 31,13 31,13 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-07-29 1 1 31,13 31,13 31,13 31,13 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-01 1 1 31,16 31,16 31,16 31,16 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-02 1 1 31,38 31,38 31,38 31,38 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-03 1 1 31,34 31,34 31,34 31,34 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-04 1 1 31,2 31,2 31,2 31,2 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-05 1 1 31,11 31,11 31,11 31,11 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-08 1 1 31,1 31,1 31,1 31,1 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-09 1 1 31,14 31,14 31,14 31,14 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-10 1 1 31,54 31,54 31,54 31,54 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-11 1 1 31,43 31,43 31,43 31,43 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-12 1 1 31,32 31,32 31,32 31,32 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-15 1 1 31,26 31,26 31,26 31,26 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-16 1 1 31,35 31,35 31,35 31,35 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-17 1 1 31,15 31,15 31,15 31,15 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-18 1 1 31,22 31,22 31,22 31,22 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-19 1 1 31,45 31,45 31,45 31,45 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-22 1 1 31,48 31,48 31,48 31,48 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-23 1 1 31,29 31,29 31,29 31,29 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-24 1 1 30,81 30,81 30,81 30,81 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-25 1 1 30,57 30,57 30,57 30,57 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-26 1 1 30,36 30,36 30,36 30,36 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-29 1 1 30,51 30,51 30,51 30,51 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-30 1 1 30,53 30,53 30,53 30,53 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-08-31 1 1 30,7 30,7 30,7 30,7 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-01 1 1 30,83 30,83 30,83 30,83 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-02 1 1 30,87 30,87 30,87 30,87 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-05 1 1 31,13 31,13 31,13 31,13 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-06 1 1 31,35 31,35 31,35 31,35 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-07 1 1 31,41 31,41 31,41 31,41 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-08 1 1 31,34 31,34 31,34 31,34 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-09 1 1 31,56 31,56 31,56 31,56 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-12 1 1 31,63 31,63 31,63 31,63 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-13 1 1 31,59 31,59 31,59 31,59 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-14 1 1 31,72 31,72 31,72 31,72 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-15 1 1 31,62 31,62 31,62 31,62 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-16 1 1 31,7 31,7 31,7 31,7 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-19 1 1 31,82 31,82 31,82 31,82 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-20 1 1 31,8 31,8 31,8 31,8 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-21 1 1 31,62 31,62 31,62 31,62 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-22 1 1 31,6 31,6 31,6 31,6 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-23 1 1 31,69 31,69 31,69 31,69 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-26 1 1 32,06 32,06 32,06 32,06 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-27 1 1 32,16 32,16 32,16 32,16 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-28 1 1 32,41 32,41 32,41 32,41 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-29 1 1 32,44 32,44 32,44 32,44 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-09-30 1 1 32,67 32,67 32,67 32,67 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-03 1 1 32,87 32,87 32,87 32,87 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-04 1 1 32,86 32,86 32,86 32,86 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-05 1 1 32,58 32,58 32,58 32,58 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-06 1 1 32,24 32,24 32,24 32,24 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-07 1 1 32,27 32,27 32,27 32,27 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-10 1 1 32,44 32,44 32,44 32,44 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-11 1 1 32,52 32,52 32,52 32,52 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-12 1 1 32,27 32,27 32,27 32,27 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-13 1 1 31,81 31,81 31,81 31,81 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-14 1 1 31,77 31,77 31,77 31,77 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-17 1 1 31,8 31,8 31,8 31,8 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-18 1 1 31,64 31,64 31,64 31,64 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-19 1 1 31,14 31,14 31,14 31,14 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-20 1 1 31,27 31,27 31,27 31,27 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-21 1 1 31,01 31,01 31,01 31,01 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-24 1 1 31,35 31,35 31,35 31,35 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-25 1 1 31,64 31,64 31,64 31,64 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-26 1 1 31,79 31,79 31,79 31,79 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-27 1 1 31,44 31,44 31,44 31,44 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-28 1 1 31,37 31,37 31,37 31,37 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-10-31 1 1 32,06 32,06 32,06 32,06 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-01 1 1 32,18 32,18 32,18 32,18 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-02 1 1 32,24 32,24 32,24 32,24 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-03 1 1 32,64 32,64 32,64 32,64 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-04 1 1 32,65 32,65 32,65 32,65 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-07 1 1 32,8 32,8 32,8 32,8 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-08 1 1 32,78 32,78 32,78 32,78 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-09 1 1 32,82 32,82 32,82 32,82 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-10 1 1 32,9 32,9 32,9 32,9 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-11 1 1 33,24 33,24 33,24 33,24 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-14 1 1 33,32 33,32 33,32 33,32 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-15 1 1 33,22 33,22 33,22 33,22 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-16 1 1 33,24 33,24 33,24 33,24 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-17 1 1 33,38 33,38 33,38 33,38 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-18 1 1 33,52 33,52 33,52 33,52 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-21 1 1 33,56 33,56 33,56 33,56 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-22 1 1 33,59 33,59 33,59 33,59 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-23 1 1 33,65 33,65 33,65 33,65 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-24 1 1 33,57 33,57 33,57 33,57 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-25 1 1 33,68 33,68 33,68 33,68 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-28 1 1 33,7 33,7 33,7 33,7 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-29 1 1 33,73 33,73 33,73 33,73 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-11-30 1 1 33,55 33,55 33,55 33,55 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-01 1 1 33,86 33,86 33,86 33,86 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-02 1 1 34,23 34,23 34,23 34,23 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-05 1 1 34,1 34,1 34,1 34,1 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-06 1 1 34,34 34,34 34,34 34,34 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-07 1 1 34,37 34,37 34,37 34,37 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-08 1 1 34,4 34,4 34,4 34,4 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-12 1 1 33,95 33,95 33,95 33,95 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-13 1 1 33,9 33,9 33,9 33,9 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-14 1 1 33,82 33,82 33,82 33,82 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-15 1 1 33,77 33,77 33,77 33,77 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-16 1 1 33,99 33,99 33,99 33,99 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-19 1 1 34,13 34,13 34,13 34,13 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-20 1 1 34,06 34,06 34,06 34,06 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-21 1 1 34,33 34,33 34,33 34,33 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-22 1 1 34,46 34,46 34,46 34,46 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-23 1 1 34,74 34,74 34,74 34,74 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-27 1 1 34,96 34,96 34,96 34,96 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-28 1 1 34,9 34,9 34,9 34,9 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-29 1 1 35,04 35,04 35,04 35,04 789271 Robur Fonder AB Robur Sverigefond MEGA SEK 2005-12-30 1 1 34,95 34,95 34,95 34,95 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-03 1 1 103,91 103,91 103,91 103,91 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-04 1 1 104,12 104,12 104,12 104,12 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-05 1 1 103,71 103,71 103,71 103,71 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-07 1 1 104,08 104,08 104,08 104,08 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-10 1 1 104,39 104,39 104,39 104,39 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-11 1 1 104,13 104,13 104,13 104,13 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-12 1 1 103,86 103,86 103,86 103,86 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-13 1 1 103,92 103,92 103,92 103,92 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-14 1 1 104,09 104,09 104,09 104,09 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-17 1 1 104,34 104,34 104,34 104,34 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-18 1 1 104,12 104,12 104,12 104,12 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-19 1 1 104,42 104,42 104,42 104,42 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-20 1 1 104,05 104,05 104,05 104,05 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-21 1 1 104,07 104,07 104,07 104,07 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-24 1 1 103,93 103,93 103,93 103,93 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-25 1 1 104,21 104,21 104,21 104,21 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-26 1 1 104,25 104,25 104,25 104,25 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-27 1 1 104,27 104,27 104,27 104,27 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-28 1 1 104,36 104,36 104,36 104,36 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-01-31 1 1 104,56 104,56 104,56 104,56 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-01 1 1 104,67 104,67 104,67 104,67 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-02 1 1 104,88 104,88 104,88 104,88 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-03 1 1 104,82 104,82 104,82 104,82 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-04 1 1 105,11 105,11 105,11 105,11 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-07 1 1 105,55 105,55 105,55 105,55 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-08 1 1 105,58 105,58 105,58 105,58 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-09 1 1 105,67 105,67 105,67 105,67 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-10 1 1 105,55 105,55 105,55 105,55 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-11 1 1 105,69 105,69 105,69 105,69 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-14 1 1 105,68 105,68 105,68 105,68 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-15 1 1 105,8 105,8 105,8 105,8 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-16 1 1 105,58 105,58 105,58 105,58 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-17 1 1 105,69 105,69 105,69 105,69 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-18 1 1 105,35 105,35 105,35 105,35 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-21 1 1 105,36 105,36 105,36 105,36 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-22 1 1 105 105 105 105 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-23 1 1 105,03 105,03 105,03 105,03 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-24 1 1 105,03 105,03 105,03 105,03 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-25 1 1 105,23 105,23 105,23 105,23 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-02-28 1 1 105,31 105,31 105,31 105,31 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-01 1 1 105,37 105,37 105,37 105,37 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-02 1 1 105,35 105,35 105,35 105,35 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-03 1 1 105,54 105,54 105,54 105,54 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-04 1 1 105,71 105,71 105,71 105,71 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-07 1 1 105,75 105,75 105,75 105,75 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-08 1 1 105,62 105,62 105,62 105,62 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-09 1 1 105,48 105,48 105,48 105,48 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-10 1 1 105,28 105,28 105,28 105,28 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-11 1 1 105,25 105,25 105,25 105,25 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-14 1 1 105,22 105,22 105,22 105,22 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-15 1 1 105,51 105,51 105,51 105,51 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-16 1 1 105,14 105,14 105,14 105,14 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-17 1 1 105,11 105,11 105,11 105,11 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-18 1 1 105,21 105,21 105,21 105,21 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-21 1 1 105,11 105,11 105,11 105,11 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-22 1 1 105,25 105,25 105,25 105,25 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-23 1 1 105,09 105,09 105,09 105,09 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-24 1 1 105,31 105,31 105,31 105,31 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-29 1 1 105,33 105,33 105,33 105,33 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-30 1 1 105,24 105,24 105,24 105,24 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-03-31 1 1 105,62 105,62 105,62 105,62 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-01 1 1 105,82 105,82 105,82 105,82 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-04 1 1 105,77 105,77 105,77 105,77 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-05 1 1 106,04 106,04 106,04 106,04 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-06 1 1 106,24 106,24 106,24 106,24 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-07 1 1 106,31 106,31 106,31 106,31 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-08 1 1 106,44 106,44 106,44 106,44 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-11 1 1 106,39 106,39 106,39 106,39 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-12 1 1 106,34 106,34 106,34 106,34 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-13 1 1 106,66 106,66 106,66 106,66 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-14 1 1 106,73 106,73 106,73 106,73 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-15 1 1 106,38 106,38 106,38 106,38 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-18 1 1 105,84 105,84 105,84 105,84 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-19 1 1 106,04 106,04 106,04 106,04 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-20 1 1 106,05 106,05 106,05 106,05 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-21 1 1 105,96 105,96 105,96 105,96 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-22 1 1 106,34 106,34 106,34 106,34 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-25 1 1 106,43 106,43 106,43 106,43 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-26 1 1 106,27 106,27 106,27 106,27 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-27 1 1 105,87 105,87 105,87 105,87 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-28 1 1 105,93 105,93 105,93 105,93 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-04-29 1 1 106,01 106,01 106,01 106,01 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-02 1 1 106,42 106,42 106,42 106,42 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-03 1 1 106,45 106,45 106,45 106,45 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-04 1 1 106,36 106,36 106,36 106,36 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-06 1 1 106,77 106,77 106,77 106,77 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-09 1 1 106,73 106,73 106,73 106,73 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-10 1 1 106,75 106,75 106,75 106,75 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-11 1 1 106,85 106,85 106,85 106,85 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-12 1 1 107,07 107,07 107,07 107,07 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-13 1 1 107,12 107,12 107,12 107,12 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-16 1 1 107,18 107,18 107,18 107,18 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-17 1 1 107,19 107,19 107,19 107,19 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-18 1 1 107,67 107,67 107,67 107,67 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-19 1 1 107,88 107,88 107,88 107,88 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-20 1 1 107,79 107,79 107,79 107,79 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-23 1 1 107,86 107,86 107,86 107,86 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-24 1 1 107,92 107,92 107,92 107,92 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-25 1 1 107,89 107,89 107,89 107,89 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-26 1 1 108,15 108,15 108,15 108,15 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-27 1 1 108,23 108,23 108,23 108,23 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-30 1 1 108,36 108,36 108,36 108,36 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-05-31 1 1 108,59 108,59 108,59 108,59 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-01 1 1 108,87 108,87 108,87 108,87 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-02 1 1 108,83 108,83 108,83 108,83 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-03 1 1 108,88 108,88 108,88 108,88 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-07 1 1 109,13 109,13 109,13 109,13 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-08 1 1 109,4 109,4 109,4 109,4 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-09 1 1 109,47 109,47 109,47 109,47 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-10 1 1 109,8 109,8 109,8 109,8 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-13 1 1 110,02 110,02 110,02 110,02 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-14 1 1 110,13 110,13 110,13 110,13 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-15 1 1 110,01 110,01 110,01 110,01 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-16 1 1 110,09 110,09 110,09 110,09 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-17 1 1 110,18 110,18 110,18 110,18 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-20 1 1 110,17 110,17 110,17 110,17 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-21 1 1 110,68 110,68 110,68 110,68 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-22 1 1 111,07 111,07 111,07 111,07 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-23 1 1 111,4 111,4 111,4 111,4 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-27 1 1 110,67 110,67 110,67 110,67 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-28 1 1 110,97 110,97 110,97 110,97 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-29 1 1 111,33 111,33 111,33 111,33 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-06-30 1 1 111,35 111,35 111,35 111,35 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-01 1 1 111,64 111,64 111,64 111,64 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-04 1 1 111,69 111,69 111,69 111,69 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-05 1 1 111,46 111,46 111,46 111,46 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-06 1 1 111,49 111,49 111,49 111,49 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-07 1 1 111,08 111,08 111,08 111,08 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-08 1 1 111,56 111,56 111,56 111,56 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-11 1 1 111,95 111,95 111,95 111,95 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-12 1 1 111,71 111,71 111,71 111,71 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-13 1 1 111,83 111,83 111,83 111,83 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-14 1 1 111,99 111,99 111,99 111,99 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-15 1 1 111,89 111,89 111,89 111,89 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-18 1 1 111,96 111,96 111,96 111,96 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-19 1 1 112,09 112,09 112,09 112,09 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-20 1 1 112 112 112 112 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-21 1 1 112,16 112,16 112,16 112,16 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-22 1 1 112,28 112,28 112,28 112,28 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-25 1 1 112,32 112,32 112,32 112,32 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-26 1 1 112,42 112,42 112,42 112,42 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-27 1 1 112,55 112,55 112,55 112,55 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-28 1 1 112,57 112,57 112,57 112,57 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-07-29 1 1 112,51 112,51 112,51 112,51 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-01 1 1 112,27 112,27 112,27 112,27 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-02 1 1 112,34 112,34 112,34 112,34 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-03 1 1 112,24 112,24 112,24 112,24 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-04 1 1 112,02 112,02 112,02 112,02 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-05 1 1 111,74 111,74 111,74 111,74 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-08 1 1 111,71 111,71 111,71 111,71 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-09 1 1 111,85 111,85 111,85 111,85 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-10 1 1 112,27 112,27 112,27 112,27 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-11 1 1 112,19 112,19 112,19 112,19 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-12 1 1 112,14 112,14 112,14 112,14 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-15 1 1 112,13 112,13 112,13 112,13 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-16 1 1 112,28 112,28 112,28 112,28 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-17 1 1 112,1 112,1 112,1 112,1 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-18 1 1 112,16 112,16 112,16 112,16 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-19 1 1 112,4 112,4 112,4 112,4 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-22 1 1 112,51 112,51 112,51 112,51 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-23 1 1 112,4 112,4 112,4 112,4 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-24 1 1 111,96 111,96 111,96 111,96 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-25 1 1 111,83 111,83 111,83 111,83 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-26 1 1 111,6 111,6 111,6 111,6 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-29 1 1 111,58 111,58 111,58 111,58 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-30 1 1 111,73 111,73 111,73 111,73 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-08-31 1 1 111,92 111,92 111,92 111,92 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-01 1 1 112,12 112,12 112,12 112,12 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-02 1 1 112,08 112,08 112,08 112,08 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-05 1 1 112,32 112,32 112,32 112,32 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-06 1 1 112,52 112,52 112,52 112,52 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-07 1 1 112,64 112,64 112,64 112,64 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-08 1 1 112,68 112,68 112,68 112,68 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-09 1 1 112,94 112,94 112,94 112,94 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-12 1 1 112,92 112,92 112,92 112,92 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-13 1 1 112,9 112,9 112,9 112,9 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-14 1 1 112,99 112,99 112,99 112,99 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-15 1 1 113 113 113 113 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-16 1 1 113,06 113,06 113,06 113,06 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-19 1 1 113,17 113,17 113,17 113,17 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-20 1 1 113,33 113,33 113,33 113,33 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-21 1 1 113,16 113,16 113,16 113,16 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-22 1 1 113,12 113,12 113,12 113,12 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-23 1 1 113,18 113,18 113,18 113,18 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-26 1 1 113,5 113,5 113,5 113,5 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-27 1 1 113,55 113,55 113,55 113,55 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-28 1 1 113,76 113,76 113,76 113,76 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-29 1 1 113,65 113,65 113,65 113,65 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-09-30 1 1 113,76 113,76 113,76 113,76 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-03 1 1 113,85 113,85 113,85 113,85 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-04 1 1 113,9 113,9 113,9 113,9 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-05 1 1 113,61 113,61 113,61 113,61 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-06 1 1 113 113 113 113 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-07 1 1 113,03 113,03 113,03 113,03 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-10 1 1 113,17 113,17 113,17 113,17 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-11 1 1 113,34 113,34 113,34 113,34 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-12 1 1 113,05 113,05 113,05 113,05 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-13 1 1 112,79 112,79 112,79 112,79 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-14 1 1 112,8 112,8 112,8 112,8 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-17 1 1 112,86 112,86 112,86 112,86 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-18 1 1 112,76 112,76 112,76 112,76 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-19 1 1 112,34 112,34 112,34 112,34 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-20 1 1 112,49 112,49 112,49 112,49 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-21 1 1 112,33 112,33 112,33 112,33 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-24 1 1 112,74 112,74 112,74 112,74 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-25 1 1 112,73 112,73 112,73 112,73 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-26 1 1 112,67 112,67 112,67 112,67 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-27 1 1 112,37 112,37 112,37 112,37 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-28 1 1 112,28 112,28 112,28 112,28 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-10-31 1 1 113,01 113,01 113,01 113,01 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-01 1 1 113,26 113,26 113,26 113,26 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-02 1 1 113,23 113,23 113,23 113,23 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-03 1 1 113,64 113,64 113,64 113,64 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-04 1 1 113,56 113,56 113,56 113,56 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-07 1 1 113,71 113,71 113,71 113,71 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-08 1 1 113,65 113,65 113,65 113,65 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-09 1 1 113,71 113,71 113,71 113,71 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-10 1 1 113,84 113,84 113,84 113,84 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-11 1 1 114,11 114,11 114,11 114,11 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-14 1 1 114,18 114,18 114,18 114,18 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-15 1 1 114,08 114,08 114,08 114,08 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-16 1 1 114,21 114,21 114,21 114,21 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-17 1 1 114,38 114,38 114,38 114,38 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-18 1 1 114,32 114,32 114,32 114,32 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-21 1 1 114,29 114,29 114,29 114,29 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-22 1 1 114,43 114,43 114,43 114,43 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-23 1 1 114,45 114,45 114,45 114,45 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-24 1 1 114,54 114,54 114,54 114,54 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-25 1 1 114,49 114,49 114,49 114,49 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-28 1 1 114,49 114,49 114,49 114,49 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-29 1 1 114,5 114,5 114,5 114,5 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-11-30 1 1 114,37 114,37 114,37 114,37 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-01 1 1 114,72 114,72 114,72 114,72 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-02 1 1 114,82 114,82 114,82 114,82 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-05 1 1 114,58 114,58 114,58 114,58 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-06 1 1 114,62 114,62 114,62 114,62 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-07 1 1 114,78 114,78 114,78 114,78 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-08 1 1 114,61 114,61 114,61 114,61 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-12 1 1 114,57 114,57 114,57 114,57 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-13 1 1 114,62 114,62 114,62 114,62 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-14 1 1 114,63 114,63 114,63 114,63 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-15 1 1 114,6 114,6 114,6 114,6 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-16 1 1 114,79 114,79 114,79 114,79 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-19 1 1 114,84 114,84 114,84 114,84 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-20 1 1 114,78 114,78 114,78 114,78 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-21 1 1 115,12 115,12 115,12 115,12 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-22 1 1 115,16 115,16 115,16 115,16 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-23 1 1 115,34 115,34 115,34 115,34 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-27 1 1 115,56 115,56 115,56 115,56 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-28 1 1 115,32 115,32 115,32 115,32 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-29 1 1 115,5 115,5 115,5 115,5 855387 Robur Fonder AB Robur Transfer 50 SEK 2005-12-30 1 1 115,35 115,35 115,35 115,35 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-03 1 1 104,5 104,5 104,5 104,5 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-04 1 1 104,93 104,93 104,93 104,93 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-05 1 1 104,31 104,31 104,31 104,31 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-07 1 1 104,74 104,74 104,74 104,74 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-10 1 1 105,25 105,25 105,25 105,25 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-11 1 1 104,74 104,74 104,74 104,74 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-12 1 1 104,17 104,17 104,17 104,17 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-13 1 1 104,19 104,19 104,19 104,19 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-14 1 1 104,49 104,49 104,49 104,49 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-17 1 1 104,94 104,94 104,94 104,94 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-18 1 1 104,55 104,55 104,55 104,55 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-19 1 1 105,05 105,05 105,05 105,05 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-20 1 1 104,44 104,44 104,44 104,44 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-21 1 1 104,37 104,37 104,37 104,37 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-24 1 1 103,97 103,97 103,97 103,97 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-25 1 1 104,56 104,56 104,56 104,56 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-26 1 1 104,69 104,69 104,69 104,69 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-27 1 1 104,77 104,77 104,77 104,77 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-28 1 1 104,83 104,83 104,83 104,83 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-01-31 1 1 105,21 105,21 105,21 105,21 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-01 1 1 105,37 105,37 105,37 105,37 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-02 1 1 105,76 105,76 105,76 105,76 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-03 1 1 105,72 105,72 105,72 105,72 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-04 1 1 106,18 106,18 106,18 106,18 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-07 1 1 106,99 106,99 106,99 106,99 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-08 1 1 107,11 107,11 107,11 107,11 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-09 1 1 107,17 107,17 107,17 107,17 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-10 1 1 106,82 106,82 106,82 106,82 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-11 1 1 107,1 107,1 107,1 107,1 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-14 1 1 107,21 107,21 107,21 107,21 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-15 1 1 107,45 107,45 107,45 107,45 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-16 1 1 107 107 107 107 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-17 1 1 107,24 107,24 107,24 107,24 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-18 1 1 106,8 106,8 106,8 106,8 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-21 1 1 106,93 106,93 106,93 106,93 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-22 1 1 106,31 106,31 106,31 106,31 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-23 1 1 106,24 106,24 106,24 106,24 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-24 1 1 106,32 106,32 106,32 106,32 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-25 1 1 106,78 106,78 106,78 106,78 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-02-28 1 1 106,83 106,83 106,83 106,83 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-01 1 1 107 107 107 107 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-02 1 1 107,09 107,09 107,09 107,09 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-03 1 1 107,44 107,44 107,44 107,44 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-04 1 1 107,64 107,64 107,64 107,64 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-07 1 1 107,65 107,65 107,65 107,65 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-08 1 1 107,31 107,31 107,31 107,31 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-09 1 1 107,08 107,08 107,08 107,08 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-10 1 1 106,66 106,66 106,66 106,66 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-11 1 1 106,71 106,71 106,71 106,71 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-14 1 1 106,67 106,67 106,67 106,67 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-15 1 1 107,17 107,17 107,17 107,17 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-16 1 1 106,46 106,46 106,46 106,46 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-17 1 1 106,36 106,36 106,36 106,36 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-18 1 1 106,58 106,58 106,58 106,58 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-21 1 1 106,47 106,47 106,47 106,47 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-22 1 1 106,6 106,6 106,6 106,6 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-23 1 1 106,36 106,36 106,36 106,36 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-24 1 1 106,77 106,77 106,77 106,77 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-29 1 1 106,82 106,82 106,82 106,82 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-30 1 1 106,56 106,56 106,56 106,56 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-03-31 1 1 107,17 107,17 107,17 107,17 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-01 1 1 107,41 107,41 107,41 107,41 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-04 1 1 107,26 107,26 107,26 107,26 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-05 1 1 107,82 107,82 107,82 107,82 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-06 1 1 108,15 108,15 108,15 108,15 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-07 1 1 108,25 108,25 108,25 108,25 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-08 1 1 108,62 108,62 108,62 108,62 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-11 1 1 108,46 108,46 108,46 108,46 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-12 1 1 108,34 108,34 108,34 108,34 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-13 1 1 108,82 108,82 108,82 108,82 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-14 1 1 108,92 108,92 108,92 108,92 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-15 1 1 108,03 108,03 108,03 108,03 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-18 1 1 106,91 106,91 106,91 106,91 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-19 1 1 107,27 107,27 107,27 107,27 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-20 1 1 107,21 107,21 107,21 107,21 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-21 1 1 107,04 107,04 107,04 107,04 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-22 1 1 107,7 107,7 107,7 107,7 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-25 1 1 107,84 107,84 107,84 107,84 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-26 1 1 107,45 107,45 107,45 107,45 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-27 1 1 106,48 106,48 106,48 106,48 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-28 1 1 106,48 106,48 106,48 106,48 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-04-29 1 1 106,55 106,55 106,55 106,55 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-02 1 1 107,28 107,28 107,28 107,28 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-03 1 1 107,31 107,31 107,31 107,31 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-04 1 1 107,28 107,28 107,28 107,28 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-06 1 1 108,21 108,21 108,21 108,21 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-09 1 1 108,08 108,08 108,08 108,08 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-10 1 1 107,91 107,91 107,91 107,91 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-11 1 1 107,99 107,99 107,99 107,99 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-12 1 1 108,45 108,45 108,45 108,45 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-13 1 1 108,38 108,38 108,38 108,38 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-16 1 1 108,52 108,52 108,52 108,52 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-17 1 1 108,57 108,57 108,57 108,57 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-18 1 1 109,34 109,34 109,34 109,34 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-19 1 1 109,74 109,74 109,74 109,74 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-20 1 1 109,68 109,68 109,68 109,68 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-23 1 1 109,81 109,81 109,81 109,81 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-24 1 1 109,83 109,83 109,83 109,83 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-25 1 1 109,73 109,73 109,73 109,73 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-26 1 1 110,32 110,32 110,32 110,32 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-27 1 1 110,41 110,41 110,41 110,41 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-30 1 1 110,72 110,72 110,72 110,72 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-05-31 1 1 110,94 110,94 110,94 110,94 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-01 1 1 111,32 111,32 111,32 111,32 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-02 1 1 111,19 111,19 111,19 111,19 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-03 1 1 111,09 111,09 111,09 111,09 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-07 1 1 111,6 111,6 111,6 111,6 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-08 1 1 111,85 111,85 111,85 111,85 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-09 1 1 111,95 111,95 111,95 111,95 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-10 1 1 112,54 112,54 112,54 112,54 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-13 1 1 112,95 112,95 112,95 112,95 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-14 1 1 113,26 113,26 113,26 113,26 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-15 1 1 113,1 113,1 113,1 113,1 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-16 1 1 113,32 113,32 113,32 113,32 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-17 1 1 113,43 113,43 113,43 113,43 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-20 1 1 113,39 113,39 113,39 113,39 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-21 1 1 114,01 114,01 114,01 114,01 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-22 1 1 114,52 114,52 114,52 114,52 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-23 1 1 115,14 115,14 115,14 115,14 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-27 1 1 113,8 113,8 113,8 113,8 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-28 1 1 114,43 114,43 114,43 114,43 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-29 1 1 115,03 115,03 115,03 115,03 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-06-30 1 1 115,09 115,09 115,09 115,09 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-01 1 1 115,58 115,58 115,58 115,58 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-04 1 1 115,83 115,83 115,83 115,83 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-05 1 1 115,52 115,52 115,52 115,52 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-06 1 1 115,53 115,53 115,53 115,53 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-07 1 1 114,6 114,6 114,6 114,6 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-08 1 1 115,54 115,54 115,54 115,54 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-11 1 1 116,4 116,4 116,4 116,4 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-12 1 1 116,05 116,05 116,05 116,05 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-13 1 1 116,29 116,29 116,29 116,29 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-14 1 1 116,66 116,66 116,66 116,66 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-15 1 1 116,5 116,5 116,5 116,5 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-18 1 1 116,58 116,58 116,58 116,58 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-19 1 1 116,85 116,85 116,85 116,85 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-20 1 1 116,67 116,67 116,67 116,67 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-21 1 1 116,94 116,94 116,94 116,94 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-22 1 1 117,07 117,07 117,07 117,07 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-25 1 1 117,08 117,08 117,08 117,08 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-26 1 1 117,35 117,35 117,35 117,35 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-27 1 1 117,48 117,48 117,48 117,48 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-28 1 1 117,66 117,66 117,66 117,66 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-07-29 1 1 117,63 117,63 117,63 117,63 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-01 1 1 117,41 117,41 117,41 117,41 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-02 1 1 117,69 117,69 117,69 117,69 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-03 1 1 117,57 117,57 117,57 117,57 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-04 1 1 117,06 117,06 117,06 117,06 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-05 1 1 116,68 116,68 116,68 116,68 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-08 1 1 116,69 116,69 116,69 116,69 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-09 1 1 116,92 116,92 116,92 116,92 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-10 1 1 117,7 117,7 117,7 117,7 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-11 1 1 117,47 117,47 117,47 117,47 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-12 1 1 117,3 117,3 117,3 117,3 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-15 1 1 117,21 117,21 117,21 117,21 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-16 1 1 117,47 117,47 117,47 117,47 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-17 1 1 117,06 117,06 117,06 117,06 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-18 1 1 117,19 117,19 117,19 117,19 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-19 1 1 117,73 117,73 117,73 117,73 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-22 1 1 117,9 117,9 117,9 117,9 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-23 1 1 117,53 117,53 117,53 117,53 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-24 1 1 116,66 116,66 116,66 116,66 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-25 1 1 116,32 116,32 116,32 116,32 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-26 1 1 115,8 115,8 115,8 115,8 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-29 1 1 115,89 115,89 115,89 115,89 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-30 1 1 116,17 116,17 116,17 116,17 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-08-31 1 1 116,43 116,43 116,43 116,43 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-01 1 1 116,75 116,75 116,75 116,75 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-02 1 1 116,6 116,6 116,6 116,6 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-05 1 1 117,03 117,03 117,03 117,03 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-06 1 1 117,57 117,57 117,57 117,57 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-07 1 1 117,79 117,79 117,79 117,79 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-08 1 1 117,79 117,79 117,79 117,79 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-09 1 1 118,25 118,25 118,25 118,25 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-12 1 1 118,41 118,41 118,41 118,41 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-13 1 1 118,34 118,34 118,34 118,34 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-14 1 1 118,5 118,5 118,5 118,5 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-15 1 1 118,55 118,55 118,55 118,55 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-16 1 1 118,74 118,74 118,74 118,74 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-19 1 1 118,98 118,98 118,98 118,98 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-20 1 1 119,14 119,14 119,14 119,14 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-21 1 1 118,61 118,61 118,61 118,61 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-22 1 1 118,55 118,55 118,55 118,55 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-23 1 1 118,82 118,82 118,82 118,82 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-26 1 1 119,63 119,63 119,63 119,63 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-27 1 1 119,72 119,72 119,72 119,72 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-28 1 1 120,19 120,19 120,19 120,19 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-29 1 1 120,07 120,07 120,07 120,07 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-09-30 1 1 120,31 120,31 120,31 120,31 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-03 1 1 120,69 120,69 120,69 120,69 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-04 1 1 120,76 120,76 120,76 120,76 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-05 1 1 120,1 120,1 120,1 120,1 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-06 1 1 118,9 118,9 118,9 118,9 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-07 1 1 119,01 119,01 119,01 119,01 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-10 1 1 119,32 119,32 119,32 119,32 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-11 1 1 119,63 119,63 119,63 119,63 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-12 1 1 119,08 119,08 119,08 119,08 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-13 1 1 118,46 118,46 118,46 118,46 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-14 1 1 118,51 118,51 118,51 118,51 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-17 1 1 118,68 118,68 118,68 118,68 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-18 1 1 118,45 118,45 118,45 118,45 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-19 1 1 117,42 117,42 117,42 117,42 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-20 1 1 117,82 117,82 117,82 117,82 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-21 1 1 117,35 117,35 117,35 117,35 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-24 1 1 118,23 118,23 118,23 118,23 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-25 1 1 118,34 118,34 118,34 118,34 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-26 1 1 118,45 118,45 118,45 118,45 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-27 1 1 117,77 117,77 117,77 117,77 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-28 1 1 117,64 117,64 117,64 117,64 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-10-31 1 1 119,25 119,25 119,25 119,25 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-01 1 1 119,76 119,76 119,76 119,76 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-02 1 1 119,9 119,9 119,9 119,9 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-03 1 1 120,79 120,79 120,79 120,79 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-04 1 1 120,8 120,8 120,8 120,8 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-07 1 1 121,18 121,18 121,18 121,18 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-08 1 1 121 121 121 121 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-09 1 1 121,21 121,21 121,21 121,21 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-10 1 1 121,42 121,42 121,42 121,42 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-11 1 1 121,93 121,93 121,93 121,93 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-14 1 1 122,04 122,04 122,04 122,04 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-15 1 1 121,96 121,96 121,96 121,96 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-16 1 1 121,97 121,97 121,97 121,97 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-17 1 1 122,4 122,4 122,4 122,4 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-18 1 1 122,5 122,5 122,5 122,5 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-21 1 1 122,37 122,37 122,37 122,37 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-22 1 1 122,63 122,63 122,63 122,63 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-23 1 1 122,6 122,6 122,6 122,6 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-24 1 1 122,59 122,59 122,59 122,59 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-25 1 1 122,61 122,61 122,61 122,61 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-28 1 1 122,59 122,59 122,59 122,59 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-29 1 1 122,63 122,63 122,63 122,63 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-11-30 1 1 122,43 122,43 122,43 122,43 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-01 1 1 123,05 123,05 123,05 123,05 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-02 1 1 123,49 123,49 123,49 123,49 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-05 1 1 123,11 123,11 123,11 123,11 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-06 1 1 123,28 123,28 123,28 123,28 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-07 1 1 123,49 123,49 123,49 123,49 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-08 1 1 123,27 123,27 123,27 123,27 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-12 1 1 123,42 123,42 123,42 123,42 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-13 1 1 123,45 123,45 123,45 123,45 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-14 1 1 123,32 123,32 123,32 123,32 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-15 1 1 123,2 123,2 123,2 123,2 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-16 1 1 123,65 123,65 123,65 123,65 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-19 1 1 123,67 123,67 123,67 123,67 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-20 1 1 123,55 123,55 123,55 123,55 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-21 1 1 124,32 124,32 124,32 124,32 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-22 1 1 124,47 124,47 124,47 124,47 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-23 1 1 124,8 124,8 124,8 124,8 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-27 1 1 125,22 125,22 125,22 125,22 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-28 1 1 124,7 124,7 124,7 124,7 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-29 1 1 125,08 125,08 125,08 125,08 819557 Robur Fonder AB Robur Transfer 60 SEK 2005-12-30 1 1 124,7 124,7 124,7 124,7 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-03 1 1 104,53 104,53 104,53 104,53 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-04 1 1 105,17 105,17 105,17 105,17 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-05 1 1 104,37 104,37 104,37 104,37 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-07 1 1 104,88 104,88 104,88 104,88 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-10 1 1 105,52 105,52 105,52 105,52 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-11 1 1 104,8 104,8 104,8 104,8 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-12 1 1 104,09 104,09 104,09 104,09 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-13 1 1 104,1 104,1 104,1 104,1 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-14 1 1 104,51 104,51 104,51 104,51 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-17 1 1 105,12 105,12 105,12 105,12 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-18 1 1 104,64 104,64 104,64 104,64 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-19 1 1 105,28 105,28 105,28 105,28 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-20 1 1 104,49 104,49 104,49 104,49 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-21 1 1 104,33 104,33 104,33 104,33 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-24 1 1 103,75 103,75 103,75 103,75 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-25 1 1 104,57 104,57 104,57 104,57 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-26 1 1 104,76 104,76 104,76 104,76 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-27 1 1 104,9 104,9 104,9 104,9 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-28 1 1 104,95 104,95 104,95 104,95 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-01-31 1 1 105,47 105,47 105,47 105,47 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-01 1 1 105,67 105,67 105,67 105,67 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-02 1 1 106,13 106,13 106,13 106,13 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-03 1 1 106,09 106,09 106,09 106,09 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-04 1 1 106,69 106,69 106,69 106,69 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-07 1 1 107,82 107,82 107,82 107,82 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-08 1 1 108 108 108 108 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-09 1 1 108 108 108 108 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-10 1 1 107,49 107,49 107,49 107,49 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-11 1 1 107,87 107,87 107,87 107,87 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-14 1 1 108,06 108,06 108,06 108,06 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-15 1 1 108,4 108,4 108,4 108,4 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-16 1 1 107,77 107,77 107,77 107,77 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-17 1 1 108,08 108,08 108,08 108,08 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-18 1 1 107,56 107,56 107,56 107,56 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-21 1 1 107,79 107,79 107,79 107,79 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-22 1 1 106,93 106,93 106,93 106,93 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-23 1 1 106,74 106,74 106,74 106,74 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-24 1 1 106,89 106,89 106,89 106,89 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-25 1 1 107,56 107,56 107,56 107,56 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-02-28 1 1 107,57 107,57 107,57 107,57 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-01 1 1 107,85 107,85 107,85 107,85 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-02 1 1 108,01 108,01 108,01 108,01 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-03 1 1 108,45 108,45 108,45 108,45 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-04 1 1 108,61 108,61 108,61 108,61 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-07 1 1 108,62 108,62 108,62 108,62 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-08 1 1 108,07 108,07 108,07 108,07 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-09 1 1 107,81 107,81 107,81 107,81 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-10 1 1 107,21 107,21 107,21 107,21 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-11 1 1 107,34 107,34 107,34 107,34 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-14 1 1 107,27 107,27 107,27 107,27 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-15 1 1 107,89 107,89 107,89 107,89 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-16 1 1 106,91 106,91 106,91 106,91 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-17 1 1 106,74 106,74 106,74 106,74 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-18 1 1 107,09 107,09 107,09 107,09 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-21 1 1 106,97 106,97 106,97 106,97 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-22 1 1 107,07 107,07 107,07 107,07 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-23 1 1 106,8 106,8 106,8 106,8 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-24 1 1 107,32 107,32 107,32 107,32 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-29 1 1 107,37 107,37 107,37 107,37 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-30 1 1 106,97 106,97 106,97 106,97 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-03-31 1 1 107,77 107,77 107,77 107,77 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-01 1 1 108,09 108,09 108,09 108,09 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-04 1 1 107,87 107,87 107,87 107,87 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-05 1 1 108,65 108,65 108,65 108,65 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-06 1 1 109,1 109,1 109,1 109,1 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-07 1 1 109,22 109,22 109,22 109,22 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-08 1 1 109,81 109,81 109,81 109,81 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-11 1 1 109,48 109,48 109,48 109,48 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-12 1 1 109,3 109,3 109,3 109,3 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-13 1 1 109,91 109,91 109,91 109,91 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-14 1 1 109,99 109,99 109,99 109,99 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-15 1 1 108,67 108,67 108,67 108,67 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-18 1 1 107,04 107,04 107,04 107,04 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-19 1 1 107,56 107,56 107,56 107,56 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-20 1 1 107,46 107,46 107,46 107,46 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-21 1 1 107,2 107,2 107,2 107,2 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-22 1 1 108,06 108,06 108,06 108,06 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-25 1 1 108,26 108,26 108,26 108,26 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-26 1 1 107,73 107,73 107,73 107,73 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-27 1 1 106,35 106,35 106,35 106,35 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-28 1 1 106,41 106,41 106,41 106,41 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-04-29 1 1 106,47 106,47 106,47 106,47 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-02 1 1 107,51 107,51 107,51 107,51 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-03 1 1 107,52 107,52 107,52 107,52 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-04 1 1 107,55 107,55 107,55 107,55 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-06 1 1 108,94 108,94 108,94 108,94 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-09 1 1 108,75 108,75 108,75 108,75 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-10 1 1 108,46 108,46 108,46 108,46 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-11 1 1 108,52 108,52 108,52 108,52 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-12 1 1 109,19 109,19 109,19 109,19 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-13 1 1 109,03 109,03 109,03 109,03 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-16 1 1 109,21 109,21 109,21 109,21 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-17 1 1 109,24 109,24 109,24 109,24 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-18 1 1 110,22 110,22 110,22 110,22 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-19 1 1 110,82 110,82 110,82 110,82 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-20 1 1 110,8 110,8 110,8 110,8 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-23 1 1 110,97 110,97 110,97 110,97 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-24 1 1 110,98 110,98 110,98 110,98 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-25 1 1 110,74 110,74 110,74 110,74 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-26 1 1 111,64 111,64 111,64 111,64 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-27 1 1 111,76 111,76 111,76 111,76 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-30 1 1 112,24 112,24 112,24 112,24 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-05-31 1 1 112,46 112,46 112,46 112,46 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-01 1 1 112,94 112,94 112,94 112,94 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-02 1 1 112,77 112,77 112,77 112,77 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-03 1 1 112,55 112,55 112,55 112,55 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-07 1 1 113,3 113,3 113,3 113,3 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-08 1 1 113,53 113,53 113,53 113,53 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-09 1 1 113,65 113,65 113,65 113,65 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-10 1 1 114,51 114,51 114,51 114,51 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-13 1 1 115,16 115,16 115,16 115,16 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-14 1 1 115,62 115,62 115,62 115,62 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-15 1 1 115,44 115,44 115,44 115,44 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-16 1 1 115,79 115,79 115,79 115,79 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-17 1 1 115,8 115,8 115,8 115,8 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-20 1 1 115,77 115,77 115,77 115,77 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-21 1 1 116,48 116,48 116,48 116,48 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-22 1 1 117,15 117,15 117,15 117,15 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-23 1 1 118,08 118,08 118,08 118,08 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-27 1 1 116,12 116,12 116,12 116,12 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-28 1 1 117,07 117,07 117,07 117,07 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-29 1 1 117,92 117,92 117,92 117,92 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-06-30 1 1 117,97 117,97 117,97 117,97 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-01 1 1 118,65 118,65 118,65 118,65 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-04 1 1 119,07 119,07 119,07 119,07 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-05 1 1 118,65 118,65 118,65 118,65 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-06 1 1 118,62 118,62 118,62 118,62 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-07 1 1 117,28 117,28 117,28 117,28 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-08 1 1 118,59 118,59 118,59 118,59 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-11 1 1 119,86 119,86 119,86 119,86 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-12 1 1 119,34 119,34 119,34 119,34 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-13 1 1 119,66 119,66 119,66 119,66 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-14 1 1 120,25 120,25 120,25 120,25 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-15 1 1 120,05 120,05 120,05 120,05 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-18 1 1 120,13 120,13 120,13 120,13 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-19 1 1 120,55 120,55 120,55 120,55 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-20 1 1 120,28 120,28 120,28 120,28 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-21 1 1 120,5 120,5 120,5 120,5 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-22 1 1 120,62 120,62 120,62 120,62 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-25 1 1 120,62 120,62 120,62 120,62 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-26 1 1 121,09 121,09 121,09 121,09 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-27 1 1 121,22 121,22 121,22 121,22 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-28 1 1 121,48 121,48 121,48 121,48 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-07-29 1 1 121,48 121,48 121,48 121,48 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-01 1 1 121,25 121,25 121,25 121,25 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-02 1 1 121,71 121,71 121,71 121,71 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-03 1 1 121,55 121,55 121,55 121,55 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-04 1 1 120,73 120,73 120,73 120,73 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-05 1 1 120,25 120,25 120,25 120,25 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-08 1 1 120,26 120,26 120,26 120,26 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-09 1 1 120,6 120,6 120,6 120,6 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-10 1 1 121,68 121,68 121,68 121,68 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-11 1 1 121,31 121,31 121,31 121,31 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-12 1 1 121,06 121,06 121,06 121,06 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-15 1 1 120,92 120,92 120,92 120,92 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-16 1 1 121,27 121,27 121,27 121,27 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-17 1 1 120,67 120,67 120,67 120,67 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-18 1 1 120,87 120,87 120,87 120,87 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-19 1 1 121,65 121,65 121,65 121,65 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-22 1 1 121,89 121,89 121,89 121,89 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-23 1 1 121,28 121,28 121,28 121,28 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-24 1 1 120,03 120,03 120,03 120,03 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-25 1 1 119,51 119,51 119,51 119,51 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-26 1 1 118,75 118,75 118,75 118,75 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-29 1 1 118,87 118,87 118,87 118,87 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-30 1 1 119,32 119,32 119,32 119,32 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-08-31 1 1 119,59 119,59 119,59 119,59 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-01 1 1 119,97 119,97 119,97 119,97 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-02 1 1 119,67 119,67 119,67 119,67 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-05 1 1 120,24 120,24 120,24 120,24 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-06 1 1 121,08 121,08 121,08 121,08 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-07 1 1 121,42 121,42 121,42 121,42 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-08 1 1 121,41 121,41 121,41 121,41 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-09 1 1 122,04 122,04 122,04 122,04 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-12 1 1 122,44 122,44 122,44 122,44 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-13 1 1 122,39 122,39 122,39 122,39 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-14 1 1 122,59 122,59 122,59 122,59 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-15 1 1 122,75 122,75 122,75 122,75 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-16 1 1 123,01 123,01 123,01 123,01 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-19 1 1 123,35 123,35 123,35 123,35 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-20 1 1 123,56 123,56 123,56 123,56 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-21 1 1 122,68 122,68 122,68 122,68 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-22 1 1 122,58 122,58 122,58 122,58 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-23 1 1 123,06 123,06 123,06 123,06 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-26 1 1 124,36 124,36 124,36 124,36 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-27 1 1 124,44 124,44 124,44 124,44 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-28 1 1 125,11 125,11 125,11 125,11 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-29 1 1 124,98 124,98 124,98 124,98 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-09-30 1 1 125,32 125,32 125,32 125,32 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-03 1 1 125,98 125,98 125,98 125,98 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-04 1 1 126,1 126,1 126,1 126,1 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-05 1 1 125,07 125,07 125,07 125,07 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-06 1 1 123,24 123,24 123,24 123,24 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-07 1 1 123,44 123,44 123,44 123,44 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-10 1 1 123,88 123,88 123,88 123,88 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-11 1 1 124,38 124,38 124,38 124,38 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-12 1 1 123,6 123,6 123,6 123,6 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-13 1 1 122,74 122,74 122,74 122,74 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-14 1 1 122,82 122,82 122,82 122,82 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-17 1 1 123,1 123,1 123,1 123,1 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-18 1 1 122,8 122,8 122,8 122,8 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-19 1 1 121,22 121,22 121,22 121,22 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-20 1 1 121,84 121,84 121,84 121,84 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-21 1 1 121,11 121,11 121,11 121,11 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-24 1 1 122,4 122,4 122,4 122,4 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-25 1 1 122,57 122,57 122,57 122,57 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-26 1 1 122,81 122,81 122,81 122,81 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-27 1 1 121,8 121,8 121,8 121,8 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-28 1 1 121,66 121,66 121,66 121,66 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-10-31 1 1 124,08 124,08 124,08 124,08 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-01 1 1 124,91 124,91 124,91 124,91 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-02 1 1 125,2 125,2 125,2 125,2 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-03 1 1 126,49 126,49 126,49 126,49 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-04 1 1 126,62 126,62 126,62 126,62 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-07 1 1 127,27 127,27 127,27 127,27 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-08 1 1 126,96 126,96 126,96 126,96 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-09 1 1 127,34 127,34 127,34 127,34 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-10 1 1 127,62 127,62 127,62 127,62 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-11 1 1 128,34 128,34 128,34 128,34 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-14 1 1 128,45 128,45 128,45 128,45 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-15 1 1 128,43 128,43 128,43 128,43 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-16 1 1 128,37 128,37 128,37 128,37 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-17 1 1 129,06 129,06 129,06 129,06 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-18 1 1 129,28 129,28 129,28 129,28 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-21 1 1 129,04 129,04 129,04 129,04 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-22 1 1 129,42 129,42 129,42 129,42 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-23 1 1 129,3 129,3 129,3 129,3 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-24 1 1 129,2 129,2 129,2 129,2 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-25 1 1 129,27 129,27 129,27 129,27 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-28 1 1 129,27 129,27 129,27 129,27 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-29 1 1 129,33 129,33 129,33 129,33 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-11-30 1 1 129,05 129,05 129,05 129,05 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-01 1 1 129,91 129,91 129,91 129,91 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-02 1 1 130,66 130,66 130,66 130,66 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-05 1 1 130,14 130,14 130,14 130,14 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-06 1 1 130,38 130,38 130,38 130,38 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-07 1 1 130,7 130,7 130,7 130,7 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-08 1 1 130,38 130,38 130,38 130,38 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-12 1 1 130,63 130,63 130,63 130,63 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-13 1 1 130,66 130,66 130,66 130,66 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-14 1 1 130,4 130,4 130,4 130,4 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-15 1 1 130,23 130,23 130,23 130,23 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-16 1 1 130,9 130,9 130,9 130,9 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-19 1 1 130,89 130,89 130,89 130,89 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-20 1 1 130,73 130,73 130,73 130,73 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-21 1 1 131,95 131,95 131,95 131,95 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-22 1 1 132,19 132,19 132,19 132,19 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-23 1 1 132,65 132,65 132,65 132,65 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-27 1 1 133,22 133,22 133,22 133,22 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-28 1 1 132,36 132,36 132,36 132,36 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-29 1 1 132,98 132,98 132,98 132,98 783720 Robur Fonder AB Robur Transfer 70 SEK 2005-12-30 1 1 132,37 132,37 132,37 132,37 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-03 1 1 105,45 105,45 105,45 105,45 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-04 1 1 106,18 106,18 106,18 106,18 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-05 1 1 105,35 105,35 105,35 105,35 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-07 1 1 105,91 105,91 105,91 105,91 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-10 1 1 106,54 106,54 106,54 106,54 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-11 1 1 105,79 105,79 105,79 105,79 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-12 1 1 105,09 105,09 105,09 105,09 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-13 1 1 105,11 105,11 105,11 105,11 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-14 1 1 105,55 105,55 105,55 105,55 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-17 1 1 106,19 106,19 106,19 106,19 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-18 1 1 105,69 105,69 105,69 105,69 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-19 1 1 106,37 106,37 106,37 106,37 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-20 1 1 105,56 105,56 105,56 105,56 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-21 1 1 105,38 105,38 105,38 105,38 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-24 1 1 104,81 104,81 104,81 104,81 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-25 1 1 105,66 105,66 105,66 105,66 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-26 1 1 105,88 105,88 105,88 105,88 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-27 1 1 106,01 106,01 106,01 106,01 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-28 1 1 106,08 106,08 106,08 106,08 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-01-31 1 1 106,63 106,63 106,63 106,63 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-01 1 1 106,82 106,82 106,82 106,82 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-02 1 1 107,28 107,28 107,28 107,28 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-03 1 1 107,26 107,26 107,26 107,26 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-04 1 1 107,91 107,91 107,91 107,91 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-07 1 1 109,11 109,11 109,11 109,11 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-08 1 1 109,31 109,31 109,31 109,31 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-09 1 1 109,26 109,26 109,26 109,26 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-10 1 1 108,78 108,78 108,78 108,78 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-11 1 1 109,16 109,16 109,16 109,16 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-14 1 1 109,36 109,36 109,36 109,36 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-15 1 1 109,68 109,68 109,68 109,68 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-16 1 1 109,07 109,07 109,07 109,07 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-17 1 1 109,38 109,38 109,38 109,38 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-18 1 1 108,91 108,91 108,91 108,91 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-21 1 1 109,17 109,17 109,17 109,17 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-22 1 1 108,25 108,25 108,25 108,25 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-23 1 1 108 108 108 108 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-24 1 1 108,14 108,14 108,14 108,14 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-25 1 1 108,89 108,89 108,89 108,89 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-02-28 1 1 108,84 108,84 108,84 108,84 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-01 1 1 109,17 109,17 109,17 109,17 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-02 1 1 109,36 109,36 109,36 109,36 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-03 1 1 109,83 109,83 109,83 109,83 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-04 1 1 109,96 109,96 109,96 109,96 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-07 1 1 109,97 109,97 109,97 109,97 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-08 1 1 109,35 109,35 109,35 109,35 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-09 1 1 109,09 109,09 109,09 109,09 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-10 1 1 108,47 108,47 108,47 108,47 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-11 1 1 108,59 108,59 108,59 108,59 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-14 1 1 108,51 108,51 108,51 108,51 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-15 1 1 109,19 109,19 109,19 109,19 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-16 1 1 108,14 108,14 108,14 108,14 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-17 1 1 107,98 107,98 107,98 107,98 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-18 1 1 108,4 108,4 108,4 108,4 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-21 1 1 108,33 108,33 108,33 108,33 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-22 1 1 108,37 108,37 108,37 108,37 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-23 1 1 108,13 108,13 108,13 108,13 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-24 1 1 108,6 108,6 108,6 108,6 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-29 1 1 108,67 108,67 108,67 108,67 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-30 1 1 108,21 108,21 108,21 108,21 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-03-31 1 1 109,08 109,08 109,08 109,08 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-01 1 1 109,37 109,37 109,37 109,37 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-04 1 1 109,14 109,14 109,14 109,14 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-05 1 1 109,98 109,98 109,98 109,98 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-06 1 1 110,48 110,48 110,48 110,48 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-07 1 1 110,58 110,58 110,58 110,58 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-08 1 1 111,24 111,24 111,24 111,24 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-11 1 1 110,8 110,8 110,8 110,8 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-12 1 1 110,6 110,6 110,6 110,6 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-13 1 1 111,22 111,22 111,22 111,22 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-14 1 1 111,29 111,29 111,29 111,29 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-15 1 1 109,83 109,83 109,83 109,83 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-18 1 1 107,99 107,99 107,99 107,99 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-19 1 1 108,57 108,57 108,57 108,57 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-20 1 1 108,45 108,45 108,45 108,45 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-21 1 1 108,15 108,15 108,15 108,15 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-22 1 1 109,05 109,05 109,05 109,05 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-25 1 1 109,31 109,31 109,31 109,31 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-26 1 1 108,77 108,77 108,77 108,77 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-27 1 1 107,36 107,36 107,36 107,36 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-28 1 1 107,5 107,5 107,5 107,5 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-04-29 1 1 107,59 107,59 107,59 107,59 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-02 1 1 108,69 108,69 108,69 108,69 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-03 1 1 108,68 108,68 108,68 108,68 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-04 1 1 108,7 108,7 108,7 108,7 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-06 1 1 110,19 110,19 110,19 110,19 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-09 1 1 109,94 109,94 109,94 109,94 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-10 1 1 109,63 109,63 109,63 109,63 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-11 1 1 109,68 109,68 109,68 109,68 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-12 1 1 110,38 110,38 110,38 110,38 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-13 1 1 110,15 110,15 110,15 110,15 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-16 1 1 110,34 110,34 110,34 110,34 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-17 1 1 110,34 110,34 110,34 110,34 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-18 1 1 111,35 111,35 111,35 111,35 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-19 1 1 112,04 112,04 112,04 112,04 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-20 1 1 112,02 112,02 112,02 112,02 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-23 1 1 112,23 112,23 112,23 112,23 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-24 1 1 112,23 112,23 112,23 112,23 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-25 1 1 111,94 111,94 111,94 111,94 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-26 1 1 112,95 112,95 112,95 112,95 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-27 1 1 113,05 113,05 113,05 113,05 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-30 1 1 113,6 113,6 113,6 113,6 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-05-31 1 1 113,8 113,8 113,8 113,8 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-01 1 1 114,37 114,37 114,37 114,37 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-02 1 1 114,21 114,21 114,21 114,21 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-03 1 1 114 114 114 114 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-07 1 1 114,8 114,8 114,8 114,8 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-08 1 1 115,02 115,02 115,02 115,02 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-09 1 1 115,2 115,2 115,2 115,2 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-10 1 1 116,13 116,13 116,13 116,13 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-13 1 1 116,84 116,84 116,84 116,84 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-14 1 1 117,29 117,29 117,29 117,29 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-15 1 1 117,12 117,12 117,12 117,12 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-16 1 1 117,49 117,49 117,49 117,49 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-17 1 1 117,45 117,45 117,45 117,45 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-20 1 1 117,4 117,4 117,4 117,4 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-21 1 1 118,12 118,12 118,12 118,12 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-22 1 1 118,86 118,86 118,86 118,86 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-23 1 1 119,87 119,87 119,87 119,87 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-27 1 1 117,75 117,75 117,75 117,75 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-28 1 1 118,83 118,83 118,83 118,83 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-29 1 1 119,71 119,71 119,71 119,71 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-06-30 1 1 119,78 119,78 119,78 119,78 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-01 1 1 120,52 120,52 120,52 120,52 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-04 1 1 120,98 120,98 120,98 120,98 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-05 1 1 120,48 120,48 120,48 120,48 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-06 1 1 120,44 120,44 120,44 120,44 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-07 1 1 119,03 119,03 119,03 119,03 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-08 1 1 120,4 120,4 120,4 120,4 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-11 1 1 121,72 121,72 121,72 121,72 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-12 1 1 121,11 121,11 121,11 121,11 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-13 1 1 121,42 121,42 121,42 121,42 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-14 1 1 122,1 122,1 122,1 122,1 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-15 1 1 121,9 121,9 121,9 121,9 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-18 1 1 121,97 121,97 121,97 121,97 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-19 1 1 122,45 122,45 122,45 122,45 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-20 1 1 122,2 122,2 122,2 122,2 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-21 1 1 122,5 122,5 122,5 122,5 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-22 1 1 122,64 122,64 122,64 122,64 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-25 1 1 122,67 122,67 122,67 122,67 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-26 1 1 123,14 123,14 123,14 123,14 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-27 1 1 123,24 123,24 123,24 123,24 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-28 1 1 123,49 123,49 123,49 123,49 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-07-29 1 1 123,51 123,51 123,51 123,51 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-01 1 1 123,28 123,28 123,28 123,28 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-02 1 1 123,78 123,78 123,78 123,78 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-03 1 1 123,65 123,65 123,65 123,65 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-04 1 1 122,71 122,71 122,71 122,71 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-05 1 1 122,2 122,2 122,2 122,2 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-08 1 1 122,23 122,23 122,23 122,23 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-09 1 1 122,61 122,61 122,61 122,61 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-10 1 1 123,74 123,74 123,74 123,74 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-11 1 1 123,38 123,38 123,38 123,38 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-12 1 1 123,11 123,11 123,11 123,11 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-15 1 1 122,97 122,97 122,97 122,97 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-16 1 1 123,36 123,36 123,36 123,36 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-17 1 1 122,74 122,74 122,74 122,74 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-18 1 1 122,94 122,94 122,94 122,94 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-19 1 1 123,79 123,79 123,79 123,79 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-22 1 1 124,1 124,1 124,1 124,1 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-23 1 1 123,42 123,42 123,42 123,42 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-24 1 1 122,11 122,11 122,11 122,11 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-25 1 1 121,57 121,57 121,57 121,57 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-26 1 1 120,76 120,76 120,76 120,76 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-29 1 1 120,85 120,85 120,85 120,85 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-30 1 1 121,36 121,36 121,36 121,36 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-08-31 1 1 121,61 121,61 121,61 121,61 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-01 1 1 122,03 122,03 122,03 122,03 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-02 1 1 121,66 121,66 121,66 121,66 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-05 1 1 122,27 122,27 122,27 122,27 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-06 1 1 123,2 123,2 123,2 123,2 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-07 1 1 123,59 123,59 123,59 123,59 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-08 1 1 123,57 123,57 123,57 123,57 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-09 1 1 124,24 124,24 124,24 124,24 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-12 1 1 124,69 124,69 124,69 124,69 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-13 1 1 124,57 124,57 124,57 124,57 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-14 1 1 124,79 124,79 124,79 124,79 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-15 1 1 125,03 125,03 125,03 125,03 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-16 1 1 125,33 125,33 125,33 125,33 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-19 1 1 125,69 125,69 125,69 125,69 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-20 1 1 125,94 125,94 125,94 125,94 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-21 1 1 124,96 124,96 124,96 124,96 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-22 1 1 124,83 124,83 124,83 124,83 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-23 1 1 125,38 125,38 125,38 125,38 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-26 1 1 126,79 126,79 126,79 126,79 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-27 1 1 126,87 126,87 126,87 126,87 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-28 1 1 127,61 127,61 127,61 127,61 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-29 1 1 127,44 127,44 127,44 127,44 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-09-30 1 1 127,74 127,74 127,74 127,74 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-03 1 1 128,43 128,43 128,43 128,43 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-04 1 1 128,58 128,58 128,58 128,58 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-05 1 1 127,49 127,49 127,49 127,49 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-06 1 1 125,44 125,44 125,44 125,44 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-07 1 1 125,66 125,66 125,66 125,66 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-10 1 1 126,13 126,13 126,13 126,13 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-11 1 1 126,68 126,68 126,68 126,68 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-12 1 1 125,85 125,85 125,85 125,85 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-13 1 1 125,01 125,01 125,01 125,01 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-14 1 1 125,11 125,11 125,11 125,11 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-17 1 1 125,42 125,42 125,42 125,42 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-18 1 1 125,11 125,11 125,11 125,11 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-19 1 1 123,38 123,38 123,38 123,38 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-20 1 1 124,1 124,1 124,1 124,1 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-21 1 1 123,33 123,33 123,33 123,33 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-24 1 1 124,78 124,78 124,78 124,78 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-25 1 1 124,91 124,91 124,91 124,91 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-26 1 1 125,16 125,16 125,16 125,16 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-27 1 1 124,1 124,1 124,1 124,1 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-28 1 1 123,94 123,94 123,94 123,94 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-10-31 1 1 126,56 126,56 126,56 126,56 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-01 1 1 127,45 127,45 127,45 127,45 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-02 1 1 127,81 127,81 127,81 127,81 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-03 1 1 129,2 129,2 129,2 129,2 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-04 1 1 129,35 129,35 129,35 129,35 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-07 1 1 130,05 130,05 130,05 130,05 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-08 1 1 129,68 129,68 129,68 129,68 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-09 1 1 130,08 130,08 130,08 130,08 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-10 1 1 130,42 130,42 130,42 130,42 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-11 1 1 131,12 131,12 131,12 131,12 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-14 1 1 131,21 131,21 131,21 131,21 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-15 1 1 131,2 131,2 131,2 131,2 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-16 1 1 131,09 131,09 131,09 131,09 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-17 1 1 131,85 131,85 131,85 131,85 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-18 1 1 132,1 132,1 132,1 132,1 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-21 1 1 131,8 131,8 131,8 131,8 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-22 1 1 132,22 132,22 132,22 132,22 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-23 1 1 132,08 132,08 132,08 132,08 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-24 1 1 131,96 131,96 131,96 131,96 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-25 1 1 132,01 132,01 132,01 132,01 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-28 1 1 131,99 131,99 131,99 131,99 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-29 1 1 132,07 132,07 132,07 132,07 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-11-30 1 1 131,8 131,8 131,8 131,8 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-01 1 1 132,72 132,72 132,72 132,72 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-02 1 1 133,48 133,48 133,48 133,48 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-05 1 1 132,95 132,95 132,95 132,95 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-06 1 1 133,14 133,14 133,14 133,14 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-07 1 1 133,49 133,49 133,49 133,49 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-08 1 1 133,07 133,07 133,07 133,07 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-12 1 1 133,35 133,35 133,35 133,35 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-13 1 1 133,4 133,4 133,4 133,4 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-14 1 1 133,12 133,12 133,12 133,12 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-15 1 1 132,95 132,95 132,95 132,95 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-16 1 1 133,68 133,68 133,68 133,68 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-19 1 1 133,6 133,6 133,6 133,6 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-20 1 1 133,44 133,44 133,44 133,44 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-21 1 1 134,78 134,78 134,78 134,78 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-22 1 1 135,04 135,04 135,04 135,04 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-23 1 1 135,47 135,47 135,47 135,47 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-27 1 1 136,06 136,06 136,06 136,06 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-28 1 1 135,07 135,07 135,07 135,07 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-29 1 1 135,75 135,75 135,75 135,75 747899 Robur Fonder AB Robur Transfer 80 SEK 2005-12-30 1 1 135,07 135,07 135,07 135,07 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-03 1 1 15,34 15,34 15,34 15,34 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-04 1 1 15,41 15,41 15,41 15,41 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-05 1 1 15,23 15,23 15,23 15,23 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-07 1 1 15,24 15,24 15,24 15,24 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-10 1 1 15,27 15,27 15,27 15,27 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-11 1 1 15,27 15,27 15,27 15,27 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-12 1 1 15,26 15,26 15,26 15,26 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-13 1 1 15,27 15,27 15,27 15,27 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-14 1 1 15,43 15,43 15,43 15,43 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-17 1 1 15,56 15,56 15,56 15,56 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-18 1 1 15,28 15,28 15,28 15,28 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-19 1 1 15,19 15,19 15,19 15,19 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-20 1 1 15,16 15,16 15,16 15,16 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-21 1 1 15,23 15,23 15,23 15,23 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-24 1 1 15,32 15,32 15,32 15,32 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-25 1 1 15,6 15,6 15,6 15,6 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-26 1 1 15,56 15,56 15,56 15,56 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-27 1 1 15,7 15,7 15,7 15,7 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-28 1 1 15,95 15,95 15,95 15,95 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-01-31 1 1 16,04 16,04 16,04 16,04 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-01 1 1 16,11 16,11 16,11 16,11 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-02 1 1 16,16 16,16 16,16 16,16 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-03 1 1 16,34 16,34 16,34 16,34 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-04 1 1 16,47 16,47 16,47 16,47 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-07 1 1 16,71 16,71 16,71 16,71 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-08 1 1 16,7 16,7 16,7 16,7 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-09 1 1 16,66 16,66 16,66 16,66 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-10 1 1 16,65 16,65 16,65 16,65 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-11 1 1 16,7 16,7 16,7 16,7 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-14 1 1 16,65 16,65 16,65 16,65 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-15 1 1 16,84 16,84 16,84 16,84 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-16 1 1 17,12 17,12 17,12 17,12 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-17 1 1 17,3 17,3 17,3 17,3 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-18 1 1 17,26 17,26 17,26 17,26 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-21 1 1 17,51 17,51 17,51 17,51 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-22 1 1 17,39 17,39 17,39 17,39 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-23 1 1 17,37 17,37 17,37 17,37 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-24 1 1 17,59 17,59 17,59 17,59 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-25 1 1 18,07 18,07 18,07 18,07 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-02-28 1 1 18,09 18,09 18,09 18,09 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-01 1 1 18,14 18,14 18,14 18,14 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-02 1 1 17,78 17,78 17,78 17,78 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-03 1 1 17,76 17,76 17,76 17,76 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-04 1 1 17,84 17,84 17,84 17,84 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-07 1 1 18,08 18,08 18,08 18,08 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-08 1 1 18 18 18 18 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-09 1 1 18,06 18,06 18,06 18,06 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-10 1 1 17,69 17,69 17,69 17,69 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-11 1 1 17,58 17,58 17,58 17,58 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-14 1 1 17,4 17,4 17,4 17,4 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-15 1 1 17,37 17,37 17,37 17,37 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-16 1 1 16,59 16,59 16,59 16,59 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-17 1 1 16,54 16,54 16,54 16,54 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-18 1 1 16,83 16,83 16,83 16,83 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-21 1 1 16,51 16,51 16,51 16,51 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-22 1 1 16,8 16,8 16,8 16,8 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-23 1 1 16,6 16,6 16,6 16,6 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-24 1 1 16,93 16,93 16,93 16,93 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-29 1 1 16,87 16,87 16,87 16,87 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-30 1 1 16,8 16,8 16,8 16,8 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-03-31 1 1 17,06 17,06 17,06 17,06 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-01 1 1 17,25 17,25 17,25 17,25 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-04 1 1 17,34 17,34 17,34 17,34 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-05 1 1 17,46 17,46 17,46 17,46 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-06 1 1 17,68 17,68 17,68 17,68 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-07 1 1 17,65 17,65 17,65 17,65 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-08 1 1 17,79 17,79 17,79 17,79 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-11 1 1 17,44 17,44 17,44 17,44 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-12 1 1 17,44 17,44 17,44 17,44 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-13 1 1 17,54 17,54 17,54 17,54 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-14 1 1 17,38 17,38 17,38 17,38 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-15 1 1 17,1 17,1 17,1 17,1 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-18 1 1 16,65 16,65 16,65 16,65 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-19 1 1 16,67 16,67 16,67 16,67 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-20 1 1 16,7 16,7 16,7 16,7 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-21 1 1 16,72 16,72 16,72 16,72 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-22 1 1 16,84 16,84 16,84 16,84 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-25 1 1 16,94 16,94 16,94 16,94 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-26 1 1 16,89 16,89 16,89 16,89 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-27 1 1 16,53 16,53 16,53 16,53 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-28 1 1 16,33 16,33 16,33 16,33 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-04-29 1 1 16,41 16,41 16,41 16,41 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-02 1 1 16,56 16,56 16,56 16,56 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-03 1 1 16,53 16,53 16,53 16,53 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-04 1 1 16,47 16,47 16,47 16,47 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-06 1 1 16,71 16,71 16,71 16,71 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-09 1 1 16,7 16,7 16,7 16,7 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-10 1 1 16,55 16,55 16,55 16,55 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-11 1 1 16,49 16,49 16,49 16,49 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-12 1 1 16,4 16,4 16,4 16,4 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-13 1 1 16,28 16,28 16,28 16,28 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-16 1 1 16,15 16,15 16,15 16,15 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-17 1 1 16,25 16,25 16,25 16,25 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-18 1 1 16,61 16,61 16,61 16,61 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-19 1 1 16,74 16,74 16,74 16,74 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-20 1 1 16,78 16,78 16,78 16,78 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-23 1 1 16,7 16,7 16,7 16,7 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-24 1 1 16,9 16,9 16,9 16,9 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-25 1 1 16,82 16,82 16,82 16,82 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-26 1 1 16,91 16,91 16,91 16,91 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-27 1 1 17,12 17,12 17,12 17,12 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-30 1 1 17,1 17,1 17,1 17,1 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-05-31 1 1 17,24 17,24 17,24 17,24 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-01 1 1 17,15 17,15 17,15 17,15 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-02 1 1 17,38 17,38 17,38 17,38 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-03 1 1 17,48 17,48 17,48 17,48 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-07 1 1 17,63 17,63 17,63 17,63 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-08 1 1 17,65 17,65 17,65 17,65 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-09 1 1 17,78 17,78 17,78 17,78 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-10 1 1 18,07 18,07 18,07 18,07 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-13 1 1 18,3 18,3 18,3 18,3 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-14 1 1 18,43 18,43 18,43 18,43 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-15 1 1 18,43 18,43 18,43 18,43 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-16 1 1 18,48 18,48 18,48 18,48 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-17 1 1 18,34 18,34 18,34 18,34 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-20 1 1 18,49 18,49 18,49 18,49 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-21 1 1 18,6 18,6 18,6 18,6 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-22 1 1 18,87 18,87 18,87 18,87 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-23 1 1 19,13 19,13 19,13 19,13 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-27 1 1 18,71 18,71 18,71 18,71 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-28 1 1 18,91 18,91 18,91 18,91 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-29 1 1 19,07 19,07 19,07 19,07 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-06-30 1 1 19,27 19,27 19,27 19,27 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-01 1 1 19,62 19,62 19,62 19,62 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-04 1 1 19,85 19,85 19,85 19,85 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-05 1 1 19,65 19,65 19,65 19,65 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-06 1 1 19,89 19,89 19,89 19,89 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-07 1 1 19,75 19,75 19,75 19,75 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-08 1 1 20,17 20,17 20,17 20,17 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-11 1 1 20,11 20,11 20,11 20,11 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-12 1 1 19,99 19,99 19,99 19,99 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-13 1 1 20,08 20,08 20,08 20,08 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-14 1 1 20,14 20,14 20,14 20,14 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-15 1 1 20,06 20,06 20,06 20,06 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-18 1 1 19,94 19,94 19,94 19,94 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-19 1 1 20,19 20,19 20,19 20,19 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-20 1 1 20,4 20,4 20,4 20,4 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-21 1 1 20,3 20,3 20,3 20,3 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-22 1 1 20,37 20,37 20,37 20,37 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-25 1 1 20,62 20,62 20,62 20,62 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-26 1 1 20,63 20,63 20,63 20,63 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-27 1 1 20,78 20,78 20,78 20,78 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-28 1 1 20,97 20,97 20,97 20,97 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-07-29 1 1 20,98 20,98 20,98 20,98 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-01 1 1 21,13 21,13 21,13 21,13 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-02 1 1 21,32 21,32 21,32 21,32 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-03 1 1 21,1 21,1 21,1 21,1 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-04 1 1 21,12 21,12 21,12 21,12 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-05 1 1 21,18 21,18 21,18 21,18 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-08 1 1 21,43 21,43 21,43 21,43 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-09 1 1 21,53 21,53 21,53 21,53 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-10 1 1 21,44 21,44 21,44 21,44 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-11 1 1 21,13 21,13 21,13 21,13 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-12 1 1 20,92 20,92 20,92 20,92 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-15 1 1 21,05 21,05 21,05 21,05 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-16 1 1 21,57 21,57 21,57 21,57 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-17 1 1 21,67 21,67 21,67 21,67 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-18 1 1 21,56 21,56 21,56 21,56 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-19 1 1 21,72 21,72 21,72 21,72 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-22 1 1 21,89 21,89 21,89 21,89 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-23 1 1 21,88 21,88 21,88 21,88 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-24 1 1 21,87 21,87 21,87 21,87 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-25 1 1 21,92 21,92 21,92 21,92 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-26 1 1 22,04 22,04 22,04 22,04 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-29 1 1 22,17 22,17 22,17 22,17 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-30 1 1 22,52 22,52 22,52 22,52 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-08-31 1 1 22,69 22,69 22,69 22,69 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-01 1 1 23,01 23,01 23,01 23,01 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-02 1 1 23,2 23,2 23,2 23,2 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-05 1 1 23,09 23,09 23,09 23,09 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-06 1 1 22,9 22,9 22,9 22,9 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-07 1 1 22,74 22,74 22,74 22,74 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-08 1 1 22,92 22,92 22,92 22,92 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-09 1 1 23,49 23,49 23,49 23,49 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-12 1 1 23,72 23,72 23,72 23,72 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-13 1 1 23,67 23,67 23,67 23,67 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-14 1 1 23,59 23,59 23,59 23,59 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-15 1 1 24,19 24,19 24,19 24,19 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-16 1 1 24,59 24,59 24,59 24,59 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-19 1 1 25,01 25,01 25,01 25,01 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-20 1 1 24,93 24,93 24,93 24,93 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-21 1 1 25,05 25,05 25,05 25,05 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-22 1 1 25,28 25,28 25,28 25,28 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-23 1 1 25,23 25,23 25,23 25,23 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-26 1 1 25,33 25,33 25,33 25,33 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-27 1 1 26 26 26 26 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-28 1 1 25,93 25,93 25,93 25,93 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-29 1 1 25,85 25,85 25,85 25,85 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-09-30 1 1 25,95 25,95 25,95 25,95 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-03 1 1 26,58 26,58 26,58 26,58 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-04 1 1 26,88 26,88 26,88 26,88 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-05 1 1 26,15 26,15 26,15 26,15 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-06 1 1 24,56 24,56 24,56 24,56 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-07 1 1 24,66 24,66 24,66 24,66 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-10 1 1 25 25 25 25 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-11 1 1 25,51 25,51 25,51 25,51 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-12 1 1 24,93 24,93 24,93 24,93 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-13 1 1 23,99 23,99 23,99 23,99 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-14 1 1 23,64 23,64 23,64 23,64 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-17 1 1 23,8 23,8 23,8 23,8 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-18 1 1 23,94 23,94 23,94 23,94 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-19 1 1 22,94 22,94 22,94 22,94 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-20 1 1 23,29 23,29 23,29 23,29 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-21 1 1 23,19 23,19 23,19 23,19 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-24 1 1 23,89 23,89 23,89 23,89 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-25 1 1 23,69 23,69 23,69 23,69 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-26 1 1 23,74 23,74 23,74 23,74 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-27 1 1 23,39 23,39 23,39 23,39 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-28 1 1 23,66 23,66 23,66 23,66 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-10-31 1 1 24,31 24,31 24,31 24,31 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-01 1 1 24,51 24,51 24,51 24,51 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-02 1 1 25,1 25,1 25,1 25,1 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-03 1 1 25,67 25,67 25,67 25,67 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-04 1 1 25,59 25,59 25,59 25,59 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-07 1 1 25,67 25,67 25,67 25,67 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-08 1 1 25,36 25,36 25,36 25,36 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-09 1 1 25,6 25,6 25,6 25,6 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-10 1 1 25,4 25,4 25,4 25,4 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-11 1 1 25,06 25,06 25,06 25,06 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-14 1 1 25,33 25,33 25,33 25,33 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-15 1 1 25,42 25,42 25,42 25,42 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-16 1 1 25,46 25,46 25,46 25,46 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-17 1 1 26,15 26,15 26,15 26,15 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-18 1 1 25,87 25,87 25,87 25,87 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-21 1 1 25,84 25,84 25,84 25,84 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-22 1 1 25,78 25,78 25,78 25,78 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-23 1 1 25,61 25,61 25,61 25,61 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-24 1 1 25,92 25,92 25,92 25,92 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-25 1 1 26,03 26,03 26,03 26,03 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-28 1 1 26,38 26,38 26,38 26,38 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-29 1 1 26,1 26,1 26,1 26,1 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-11-30 1 1 26,19 26,19 26,19 26,19 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-01 1 1 26,51 26,51 26,51 26,51 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-02 1 1 26,77 26,77 26,77 26,77 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-05 1 1 26,63 26,63 26,63 26,63 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-06 1 1 26,2 26,2 26,2 26,2 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-07 1 1 26,61 26,61 26,61 26,61 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-08 1 1 26,43 26,43 26,43 26,43 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-12 1 1 26,37 26,37 26,37 26,37 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-13 1 1 26,33 26,33 26,33 26,33 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-14 1 1 26,35 26,35 26,35 26,35 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-15 1 1 26,28 26,28 26,28 26,28 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-16 1 1 26,38 26,38 26,38 26,38 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-19 1 1 26,43 26,43 26,43 26,43 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-20 1 1 26,48 26,48 26,48 26,48 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-21 1 1 26,76 26,76 26,76 26,76 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-22 1 1 26,86 26,86 26,86 26,86 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-23 1 1 26,91 26,91 26,91 26,91 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-27 1 1 27,06 27,06 27,06 27,06 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-28 1 1 26,49 26,49 26,49 26,49 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-29 1 1 26,73 26,73 26,73 26,73 825109 Robur Fonder AB Robur Östeuropafond SEK 2005-12-30 1 1 26,67 26,67 26,67 26,67 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-03 9,0065 9,0015 0,17757 0,17757 1,599284205 1,598396355 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-04 9,0345 9,0295 0,17795 0,17795 1,607689275 1,606799525 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-05 9,0615 9,0565 0,17691 0,17691 1,603069965 1,602185415 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-07 9,0615 9,0565 0,17831 0,17831 1,615756065 1,614864515 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-10 9,08619 9,08119 0,17878 0,17878 1,6244290482 1,6235351482 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-11 9,08619 9,08119 0,17799 0,17799 1,6172509581 1,6163610081 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-12 9,0455 9,0405 0,17763 0,17763 1,606752165 1,605864015 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-13 9,0505 9,0455 0,17652 0,17652 1,59759426 1,59671166 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-14 9,0455 9,0405 0,1775 0,1775 1,60557625 1,60468875 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-17 9,0685 9,0635 0,17844 0,17844 1,61818314 1,61729094 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-18 9,0585 9,0535 0,17793 0,17793 1,611778905 1,610889255 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-19 9,0225 9,0175 0,17917 0,17917 1,616561325 1,615665475 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-20 9,0315 9,0265 0,17802 0,17802 1,60778763 1,60689753 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-21 9,0505 9,0455 0,17784 0,17784 1,60954092 1,60865172 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-24 9,0655 9,0605 0,17745 0,17745 1,608672975 1,607785725 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-25 9,0715 9,0665 0,17866 0,17866 1,62071419 1,61982089 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-26 9,0885 9,0835 0,17966 0,17966 1,63283991 1,63194161 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-27 9,0675 9,0625 0,17942 0,17942 1,62689085 1,62599375 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-28 9,0955 9,0905 0,17972 0,17972 1,63464326 1,63374466 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-01-31 9,1075 9,1025 0,18044 0,18044 1,6433573 1,6424551 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-01 9,1035 9,0985 0,18102 0,18102 1,64791557 1,64701047 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-02 9,0905 9,0855 0,1825 0,1825 1,65901625 1,65810375 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-03 9,0695 9,0645 0,18233 0,18233 1,653641935 1,652730285 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-04 9,0895 9,0845 0,18312 0,18312 1,66446924 1,66355364 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-07 9,0755 9,0705 0,1851 0,1851 1,67987505 1,67894955 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-08 9,0895 9,0845 0,18533 0,18533 1,684557035 1,683630385 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-09 9,0695 9,0645 0,18502 0,18502 1,67803889 1,67711379 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-10 9,0805 9,0755 0,185 0,185 1,6798925 1,6789675 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-11 9,0935 9,0885 0,18565 0,18565 1,688208275 1,687280025 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-14 9,1105 9,1055 0,18635 0,18635 1,697741675 1,696809925 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-15 9,0765 9,0715 0,18713 0,18713 1,698485445 1,697549795 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-16 9,0705 9,0655 0,18631 0,18631 1,689924855 1,688993305 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-17 9,0925 9,0875 0,18653 0,18653 1,696024025 1,695091375 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-18 9,0945 9,0895 0,18694 0,18694 1,70012583 1,69919113 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-21 9,1185 9,1135 0,18674 0,18674 1,70278869 1,70185499 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-22 9,0975 9,0925 0,18507 0,18507 1,683674325 1,682748975 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-23 9,1045 9,0995 0,18381 0,18381 1,673498145 1,672579095 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-24 9,0715 9,0665 0,18475 0,18475 1,675959625 1,675035875 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-25 9,0845 9,0795 0,1862 0,1862 1,6915339 1,6906029 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-02-28 9,0505 9,0455 0,18684 0,18684 1,69099542 1,69006122 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-01 9,0565 9,0515 0,18721 0,18721 1,695467365 1,694531315 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-02 9,0645 9,0595 0,18725 0,18725 1,697327625 1,696391375 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-03 9,0675 9,0625 0,18819 0,18819 1,706412825 1,705471875 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-04 9,0415 9,0365 0,18847 0,18847 1,704051505 1,703109155 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-07 9,0425 9,0375 0,18899 0,18899 1,708942075 1,707997125 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-08 9,0345 9,0295 0,18843 0,18843 1,702370835 1,701428685 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-09 9,0365 9,0315 0,18845 0,18845 1,702928425 1,701986175 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-10 9,0655 9,0605 0,18565 0,18565 1,683010075 1,682081825 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-11 9,0795 9,0745 0,18622 0,18622 1,69078449 1,68985339 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-14 9,0695 9,0645 0,18539 0,18539 1,681394605 1,680467655 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-15 9,1035 9,0985 0,18668 0,18668 1,69944138 1,69850798 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-16 9,0975 9,0925 0,18642 0,18642 1,69595595 1,69502385 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-17 9,1045 9,0995 0,18442 0,18442 1,67905189 1,67812979 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-18 9,1035 9,0985 0,18501 0,18501 1,684238535 1,683313485 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-21 9,1265 9,1215 0,18527 0,18527 1,690866655 1,689940305 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-22 9,1265 9,1215 0,18396 0,18396 1,67891094 1,67799114 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-23 9,1165 9,1115 0,18381 0,18381 1,675703865 1,674784815 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-24 9,1135 9,1085 0,18514 0,18514 1,68727339 1,68634769 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-29 9,1315 9,1265 0,18489 0,18489 1,688323035 1,687398585 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-30 9,1425 9,1375 0,18529 0,18529 1,694013825 1,693087375 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-03-31 9,1405 9,1355 0,18602 0,18602 1,70031581 1,69938571 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-01 9,1645 9,1595 0,18644 0,18644 1,70862938 1,70769718 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-04 9,1695 9,1645 0,18492 0,18492 1,69562394 1,69469934 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-05 9,1745 9,1695 0,18624 0,18624 1,70865888 1,70772768 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-06 9,1705 9,1655 0,18727 0,18727 1,717359535 1,716423185 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-07 9,1505 9,1455 0,18828 0,18828 1,72285614 1,72191474 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-08 9,1625 9,1575 0,18911 0,18911 1,732720375 1,731774825 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-11 9,1705 9,1655 0,18837 0,18837 1,727447085 1,726505235 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-12 9,1525 9,1475 0,18825 0,18825 1,722958125 1,722016875 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-13 9,1495 9,1445 0,1888 0,1888 1,7274256 1,7264816 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-14 9,1685 9,1635 0,18835 0,18835 1,726886975 1,725945225 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-15 9,1925 9,1875 0,18614 0,18614 1,71109195 1,71016125 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-18 9,1805 9,1755 0,18189 0,18189 1,669841145 1,668931695 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-19 9,2035 9,1985 0,18291 0,18291 1,683412185 1,682497635 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-20 9,1915 9,1865 0,18303 0,18303 1,682320245 1,681405095 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-21 9,1855 9,1805 0,18155 0,18155 1,667627525 1,666719775 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-22 9,1625 9,1575 0,18251 0,18251 1,672247875 1,671335325 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-25 9,1685 9,1635 0,18232 0,18232 1,67160092 1,67068932 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-26 9,1375 9,1325 0,18236 0,18236 1,6663145 1,6654027 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-27 9,1465 9,1415 0,18088 0,18088 1,65441892 1,65351452 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-28 9,1505 9,1455 0,18072 0,18072 1,65367836 1,65277476 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-04-29 9,1705 9,1655 0,18102 0,18102 1,66004391 1,65913881 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-02 9,1935 9,1885 0,18219 0,18219 1,674963765 1,674052815 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-03 9,2245 9,2195 0,18268 0,18268 1,68513166 1,68421826 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-04 9,1915 9,1865 0,18253 0,18253 1,677724495 1,676811845 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-06 9,1715 9,1665 0,1842 0,1842 1,6893903 1,6884693 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-09 9,1815 9,1765 0,18459 0,18459 1,694813085 1,693890135 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-10 9,1985 9,1935 0,18395 0,18395 1,692064075 1,691144325 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-11 9,2105 9,2055 0,18335 0,18335 1,688745175 1,687828425 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-12 9,2315 9,2265 0,18392 0,18392 1,69785748 1,69693788 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-13 9,2045 9,1995 0,18374 0,18374 1,69123483 1,69031613 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-16 9,2145 9,2095 0,18409 0,18409 1,696297305 1,695376855 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-17 9,2325 9,2275 0,18382 0,18382 1,69711815 1,69619905 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-18 9,2095 9,2045 0,1856 0,1856 1,7092832 1,7083552 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-19 9,1905 9,1855 0,18744 0,18744 1,72266732 1,72173012 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-20 9,1955 9,1905 0,18805 0,18805 1,729213775 1,728273525 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-23 9,1805 9,1755 0,18865 0,18865 1,731901325 1,730958075 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-24 9,1815 9,1765 0,18833 0,18833 1,729151895 1,728210245 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-25 9,1785 9,1735 0,18884 0,18884 1,73326794 1,73232374 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-26 9,1945 9,1895 0,19004 0,19004 1,74732278 1,74637258 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-27 9,1955 9,1905 0,19008 0,19008 1,74788064 1,74693024 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-30 9,1905 9,1855 0,19115 0,19115 1,756764075 1,755808325 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-05-31 9,1665 9,1615 0,19163 0,19163 1,756576395 1,755618245 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-01 9,1455 9,1405 0,1923 0,1923 1,75867965 1,75771815 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-02 9,1565 9,1515 0,19392 0,19392 1,77562848 1,77465888 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-03 9,1315 9,1265 0,19397 0,19397 1,771237055 1,770267205 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-07 9,1455 9,1405 0,19336 0,19336 1,76837388 1,76740708 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-08 9,1455 9,1405 0,19419 0,19419 1,775964645 1,774993695 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-09 9,1965 9,1915 0,19339 0,19339 1,778511135 1,777544185 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-10 9,1975 9,1925 0,19547 0,19547 1,797835325 1,796857975 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-13 9,2365 9,2315 0,19539 0,19539 1,804719735 1,803742785 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-14 9,2985 9,2935 0,19589 0,19589 1,821483165 1,820503715 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-15 9,2695 9,2645 0,19643 0,19643 1,820807885 1,819825735 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-16 9,2695 9,2645 0,19626 0,19626 1,81923207 1,81825077 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-17 9,2695 9,2645 0,19721 0,19721 1,828038095 1,827052045 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-20 9,2255 9,2205 0,19613 0,19613 1,809397315 1,808416665 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-21 9,2725 9,2675 0,1971 0,1971 1,82760975 1,82662425 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-22 9,2615 9,2565 0,19801 0,19801 1,833869615 1,832879565 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-23 9,3535 9,3485 0,19845 0,19845 1,856202075 1,855209825 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-27 9,3855 9,3805 0,19467 0,19467 1,827075285 1,826101935 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-28 9,3995 9,3945 0,1958 0,1958 1,8404221 1,8394431 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-29 9,4215 9,4165 0,19722 0,19722 1,85810823 1,85712213 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-06-30 9,4415 9,4365 0,19736 0,19736 1,86337444 1,86238764 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-01 9,4595 9,4545 0,19722 0,19722 1,86560259 1,86461649 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-04 9,4795 9,4745 0,19862 0,19862 1,88281829 1,88182519 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-05 9,4575 9,4525 0,19805 0,19805 1,873057875 1,872067625 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-06 9,4195 9,4145 0,19992 0,19992 1,88314644 1,88214684 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-07 9,3965 9,3915 0,19341 0,19341 1,817377065 1,816410015 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-08 9,4175 9,4125 0,19852 0,19852 1,8695621 1,8685695 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-11 9,4665 9,4615 0,20003 0,20003 1,893583995 1,892583845 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-12 9,4645 9,4595 0,19987 0,19987 1,891669615 1,890670265 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-13 9,3915 9,3865 0,20042 0,20042 1,88224443 1,88124233 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-14 9,3675 9,3625 0,202 0,202 1,892235 1,891225 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-15 9,4055 9,4005 0,2015 0,2015 1,89520825 1,89420075 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-18 9,3895 9,3845 0,20156 0,20156 1,89254762 1,89153982 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-19 9,4425 9,4375 0,20149 0,20149 1,902569325 1,901561875 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-20 9,4265 9,4215 0,20214 0,20214 1,90547271 1,90446201 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-21 9,4625 9,4575 0,20304 0,20304 1,921266 1,9202508 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-22 9,4495 9,4445 0,20209 0,20209 1,909649455 1,908639005 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-25 9,4275 9,4225 0,20318 0,20318 1,91547945 1,91446355 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-26 9,4155 9,4105 0,20438 0,20438 1,92433989 1,92331799 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-27 9,4725 9,4675 0,20478 0,20478 1,93977855 1,93875465 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-28 9,4515 9,4465 0,20537 0,20537 1,941054555 1,940027705 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-07-29 9,3885 9,3835 0,20635 0,20635 1,937316975 1,936285225 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-01 9,3985 9,3935 0,20588 0,20588 1,93496318 1,93393378 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-02 9,3995 9,3945 0,20623 0,20623 1,938458885 1,937427735 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-03 9,3755 9,3705 0,20693 0,20693 1,940072215 1,939037565 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-04 9,3735 9,3685 0,2062 0,2062 1,9328157 1,9317847 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-05 9,3355 9,3305 0,20561 0,20561 1,919472155 1,918444105 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-08 9,3335 9,3285 0,20577 0,20577 1,920554295 1,919525445 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-09 9,3455 9,3405 0,20585 0,20585 1,923771175 1,922741925 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-10 9,3535 9,3485 0,20914 0,20914 1,95619099 1,95514529 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-11 9,3365 9,3315 0,20868 0,20868 1,94834082 1,94729742 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-12 9,3025 9,2975 0,20801 0,20801 1,935013025 1,933972975 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-15 9,3065 9,3015 0,20821 0,20821 1,937706365 1,936665315 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-16 9,2995 9,2945 0,20872 0,20872 1,94099164 1,93994804 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-17 9,3405 9,3355 0,20693 0,20693 1,932829665 1,931795015 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-18 9,3365 9,3315 0,20628 0,20628 1,92593322 1,92490182 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-19 9,3395 9,3345 0,20769 0,20769 1,939720755 1,938682305 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-22 9,3655 9,3605 0,20878 0,20878 1,95532909 1,95428519 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-23 9,3715 9,3665 0,20749 0,20749 1,944492535 1,943455085 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-24 9,3365 9,3315 0,20634 0,20634 1,92649341 1,92546171 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-25 9,3335 9,3285 0,20518 0,20518 1,91504753 1,91402163 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-26 9,3415 9,3365 0,20613 0,20613 1,925563395 1,924532745 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-29 9,3295 9,3245 0,20364 0,20364 1,89985938 1,89884118 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-30 9,3285 9,3235 0,20531 0,20531 1,915234335 1,914207785 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-08-31 9,3585 9,3535 0,20573 0,20573 1,925324205 1,924295555 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-01 9,3365 9,3315 0,20743 0,20743 1,936670195 1,935633045 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-02 9,3025 9,2975 0,20692 0,20692 1,9248733 1,9238387 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-05 9,2845 9,2795 0,20777 0,20777 1,929040565 1,928001715 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-06 9,3225 9,3175 0,20933 0,20933 1,951478925 1,950432275 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-07 9,3075 9,3025 0,2105 0,2105 1,95922875 1,95817625 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-08 9,3255 9,3205 0,21052 0,21052 1,96320426 1,96215166 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-09 9,3445 9,3395 0,21103 0,21103 1,971969835 1,970914685 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-12 9,3015 9,2965 0,21183 0,21183 1,970336745 1,969277595 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-13 9,3015 9,2965 0,21005 0,21005 1,953780075 1,952729825 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-14 9,3365 9,3315 0,21004 0,21004 1,96103846 1,95998826 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-15 9,3425 9,3375 0,21108 0,21108 1,9720149 1,9709595 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-16 9,3465 9,3415 0,21234 0,21234 1,98463581 1,98357411 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-19 9,3355 9,3305 0,21258 0,21258 1,98454059 1,98347769 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-20 9,3395 9,3345 0,213 0,213 1,9893135 1,9882485 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-21 9,3405 9,3355 0,2114 0,2114 1,9745817 1,9735247 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-22 9,3405 9,3355 0,2096 0,2096 1,9577688 1,9567208 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-23 9,3695 9,3645 0,21096 0,21096 1,97658972 1,97553492 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-26 9,3815 9,3765 0,21329 0,21329 2,000980135 1,999913685 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-27 9,3885 9,3835 0,21389 0,21389 2,008106265 2,007036815 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-28 9,3935 9,3885 0,21505 0,21505 2,020072175 2,018996925 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-29 9,3845 9,3795 0,21549 0,21549 2,022265905 2,021188455 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-09-30 9,3435 9,3385 0,21604 0,21604 2,01856974 2,01748954 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-03 9,3025 9,2975 0,21758 0,21758 2,02403795 2,02295005 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-04 9,3185 9,3135 0,21806 0,21806 2,03199211 2,03090181 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-05 9,3105 9,3055 0,21649 0,21649 2,015630145 2,014547695 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-06 9,3015 9,2965 0,2127 0,2127 1,97842905 1,97736555 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-07 9,3385 9,3335 0,21251 0,21251 1,984524635 1,983462085 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-10 9,3465 9,3415 0,21385 0,21385 1,998749025 1,997679775 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-11 9,3395 9,3345 0,21464 0,21464 2,00463028 2,00355708 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-12 9,3375 9,3325 0,21296 0,21296 1,988514 1,9874492 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-13 9,3815 9,3765 0,2108 0,2108 1,9776202 1,9765662 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-14 9,4135 9,4085 0,21017 0,21017 1,978435295 1,977384445 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-17 9,4575 9,4525 0,21082 0,21082 1,99383015 1,99277605 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-18 9,4625 9,4575 0,21117 0,21117 1,998196125 1,997140275 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-19 9,4605 9,4555 0,20637 0,20637 1,952363385 1,951331535 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-20 9,4935 9,4885 0,20797 0,20797 1,974363195 1,973323345 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-21 9,4915 9,4865 0,20527 0,20527 1,948320205 1,947293855 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-24 9,5455 9,5405 0,20661 0,20661 1,972195755 1,971162705 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-25 9,5465 9,5415 0,20753 0,20753 1,981185145 1,980147495 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-26 9,4975 9,4925 0,20835 0,20835 1,978804125 1,977762375 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-27 9,5355 9,5305 0,20615 0,20615 1,965743325 1,964712575 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-28 9,5135 9,5085 0,20432 0,20432 1,94379832 1,94277672 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-10-31 9,5495 9,5445 0,20849 0,20849 1,990975255 1,989932805 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-01 9,5495 9,5445 0,21012 0,21012 2,00654094 2,00549034 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-02 9,5855 9,5805 0,20992 0,20992 2,01218816 2,01113856 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-03 9,6515 9,6465 0,21232 0,21232 2,04920648 2,04814488 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-04 9,5875 9,5825 0,21383 0,21383 2,050095125 2,049025975 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-07 9,6075 9,6025 0,21307 0,21307 2,047070025 2,046004675 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-08 9,5685 9,5635 0,2146 0,2146 2,0534001 2,0523271 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-09 9,5575 9,5525 0,21438 0,21438 2,04893685 2,04786495 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-10 9,6105 9,6055 0,21436 0,21436 2,06010678 2,05903498 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-11 9,6365 9,6315 0,21566 0,21566 2,07820759 2,07712929 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-14 9,5505 9,5455 0,21687 0,21687 2,071216935 2,070132585 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-15 9,5805 9,5755 0,21569 0,21569 2,066418045 2,065339595 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-16 9,6235 9,6185 0,21454 0,21454 2,06462569 2,06355299 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-17 9,6355 9,6305 0,21692 0,21692 2,09013266 2,08904806 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-18 9,6085 9,6035 0,21845 0,21845 2,098976825 2,097884575 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-21 9,5915 9,5865 0,2183 0,2183 2,09382445 2,09273295 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-22 9,5585 9,5535 0,21908 0,21908 2,09407618 2,09298078 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-23 9,5155 9,5105 0,21997 0,21997 2,093124535 2,092024685 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-24 9,5125 9,5075 0,21919 0,21919 2,085044875 2,083948925 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-25 9,4965 9,4915 0,2202 0,2202 2,0911293 2,0900283 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-28 9,4835 9,4785 0,22164 0,22164 2,10192294 2,10081474 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-29 9,4785 9,4735 0,21914 0,21914 2,07711849 2,07602279 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-11-30 9,5295 9,5245 0,21933 0,21933 2,090105235 2,089008585 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-01 9,5165 9,5115 0,22064 0,22064 2,09972056 2,09861736 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-02 9,4905 9,4855 0,22318 0,22318 2,11808979 2,11697389 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-05 9,4065 9,4015 0,22369 0,22369 2,104139985 2,103021535 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-07 9,4255 9,4205 0,22471 0,22471 2,118004105 2,116880555 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-08 9,3965 9,3915 0,22257 0,22257 2,091379005 2,090266155 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-12 9,4315 9,4265 0,22467 0,22467 2,118975105 2,117851755 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-13 9,4295 9,4245 0,22356 0,22356 2,10805902 2,10694122 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-14 9,4365 9,4315 0,22315 0,22315 2,105754975 2,104639225 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-15 9,4345 9,4295 0,22286 0,22286 2,10257267 2,10145837 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-16 9,4765 9,4715 0,22386 0,22386 2,12140929 2,12028999 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-19 9,4535 9,4485 0,22416 0,22416 2,11909656 2,11797576 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-20 9,4015 9,3965 0,22451 0,22451 2,110730765 2,109608215 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-21 9,4485 9,4435 0,22599 0,22599 2,135266515 2,134136565 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-22 9,4365 9,4315 0,22618 0,22618 2,13434757 2,13321667 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-23 9,4425 9,4375 0,2266 0,2266 2,1396705 2,1385375 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-27 9,4915 9,4865 0,22751 0,22751 2,159411165 2,158273615 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-28 9,4345 9,4295 0,22746 0,22746 2,14597137 2,14483407 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-29 9,4115 9,4065 0,22812 0,22812 2,14695138 2,14581078 929463 Sampo Fondbolag Ab Sampo Europa Aktie EUR 2005-12-30 9,4325 9,4275 0,22648 0,22648 2,1362726 2,1351402 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-03 9,0065 9,0015 0,20563 0,20563 1,852006595 1,850978445 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-04 9,0345 9,0295 0,20521 0,20521 1,853969745 1,852943695 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-05 9,0615 9,0565 0,2039 0,2039 1,84763985 1,84662035 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-07 9,0615 9,0565 0,20443 0,20443 1,852442445 1,851420295 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-10 9,08619 9,08119 0,20605 0,20605 1,8722094495 1,8711791995 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-11 9,08619 9,08119 0,20498 0,20498 1,8624872262 1,8614623262 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-12 9,0455 9,0405 0,20367 0,20367 1,842296985 1,841278635 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-13 9,0505 9,0455 0,20308 0,20308 1,83797554 1,83696014 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-14 9,0455 9,0405 0,20383 0,20383 1,843744265 1,842725115 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-17 9,0685 9,0635 0,20457 0,20457 1,855143045 1,854120195 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-18 9,0585 9,0535 0,20445 0,20445 1,852010325 1,850988075 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-19 9,0225 9,0175 0,20485 0,20485 1,848259125 1,847234875 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-20 9,0315 9,0265 0,2019 0,2019 1,82345985 1,82245035 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-21 9,0505 9,0455 0,20199 0,20199 1,828110495 1,827100545 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-24 9,0655 9,0605 0,20049 0,20049 1,817542095 1,816539645 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-25 9,0715 9,0665 0,20128 0,20128 1,82591152 1,82490512 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-26 9,0885 9,0835 0,20117 0,20117 1,828333545 1,827327695 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-27 9,0675 9,0625 0,20301 0,20301 1,840793175 1,839778125 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-28 9,0955 9,0905 0,20254 0,20254 1,84220257 1,84118987 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-01-31 9,1075 9,1025 0,2023 0,2023 1,84244725 1,84143575 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-01 9,1035 9,0985 0,2037 0,2037 1,85438295 1,85336445 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-02 9,0905 9,0855 0,20674 0,20674 1,87936997 1,87833627 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-03 9,0695 9,0645 0,20922 0,20922 1,89752079 1,89647469 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-04 9,0895 9,0845 0,2101 0,2101 1,90970395 1,90865345 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-07 9,0755 9,0705 0,21271 0,21271 1,930449605 1,929386055 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-08 9,0895 9,0845 0,21367 0,21367 1,942153465 1,941085115 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-09 9,0695 9,0645 0,2135 0,2135 1,93633825 1,93527075 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-10 9,0805 9,0755 0,21272 0,21272 1,93160396 1,93054036 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-11 9,0935 9,0885 0,21327 0,21327 1,939370745 1,938304395 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-14 9,1105 9,1055 0,21329 0,21329 1,943178545 1,942112095 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-15 9,0765 9,0715 0,21463 0,21463 1,948089195 1,947016045 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-16 9,0705 9,0655 0,21529 0,21529 1,952787945 1,951711495 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-17 9,0925 9,0875 0,21627 0,21627 1,966434975 1,965353625 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-18 9,0945 9,0895 0,21667 0,21667 1,970505315 1,969421965 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-21 9,1185 9,1135 0,2163 0,2163 1,97233155 1,97125005 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-22 9,0975 9,0925 0,2143 0,2143 1,94959425 1,94852275 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-23 9,1045 9,0995 0,21421 0,21421 1,950274945 1,949203895 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-24 9,0715 9,0665 0,21507 0,21507 1,951007505 1,949932155 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-25 9,0845 9,0795 0,21647 0,21647 1,966521715 1,965439365 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-02-28 9,0505 9,0455 0,21742 0,21742 1,96775971 1,96667261 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-01 9,0565 9,0515 0,21706 0,21706 1,96580389 1,96471859 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-02 9,0645 9,0595 0,21821 0,21821 1,977964545 1,976873495 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-03 9,0675 9,0625 0,21891 0,21891 1,984966425 1,983871875 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-04 9,0415 9,0365 0,22062 0,22062 1,99473573 1,99363263 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-07 9,0425 9,0375 0,2227 0,2227 2,01376475 2,01265125 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-08 9,0345 9,0295 0,22095 0,22095 1,996172775 1,995068025 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-09 9,0365 9,0315 0,22216 0,22216 2,00754884 2,00643804 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-10 9,0655 9,0605 0,21983 0,21983 1,992868865 1,991769715 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-11 9,0795 9,0745 0,22008 0,22008 1,99821636 1,99711596 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-14 9,0695 9,0645 0,21994 0,21994 1,99474583 1,99364613 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-15 9,1035 9,0985 0,22073 0,22073 2,009415555 2,008311905 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-16 9,0975 9,0925 0,22054 0,22054 2,00636265 2,00525995 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-17 9,1045 9,0995 0,21773 0,21773 1,982322785 1,981234135 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-18 9,1035 9,0985 0,21818 0,21818 1,98620163 1,98511073 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-21 9,1265 9,1215 0,21792 0,21792 1,98884688 1,98775728 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-22 9,1265 9,1215 0,21708 0,21708 1,98118062 1,98009522 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-23 9,1165 9,1115 0,21463 0,21463 1,956674395 1,955601245 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-24 9,1135 9,1085 0,21594 0,21594 1,96796919 1,96688949 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-29 9,1315 9,1265 0,21679 0,21679 1,979617885 1,978533935 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-30 9,1425 9,1375 0,21683 0,21683 1,982368275 1,981284125 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-03-31 9,1405 9,1355 0,21806 0,21806 1,99317743 1,99208713 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-01 9,1645 9,1595 0,21784 0,21784 1,99639468 1,99530548 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-04 9,1695 9,1645 0,21616 0,21616 1,98207912 1,98099832 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-05 9,1745 9,1695 0,21753 0,21753 1,995728985 1,994641335 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-06 9,1705 9,1655 0,21921 0,21921 2,010265305 2,009169255 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-07 9,1505 9,1455 0,22106 0,22106 2,02280953 2,02170423 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-08 9,1625 9,1575 0,22294 0,22294 2,04268775 2,04157305 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-11 9,1705 9,1655 0,22145 0,22145 2,030807225 2,029699975 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-12 9,1525 9,1475 0,22168 0,22168 2,0289262 2,0278178 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-13 9,1495 9,1445 0,22209 0,22209 2,032012455 2,030902005 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-14 9,1685 9,1635 0,22136 0,22136 2,02953916 2,02843236 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-15 9,1925 9,1875 0,21826 0,21826 2,00635505 2,00526375 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-18 9,1805 9,1755 0,21532 0,21532 1,97674526 1,97566866 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-19 9,2035 9,1985 0,21692 0,21692 1,99642322 1,99533862 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-20 9,1915 9,1865 0,21841 0,21841 2,007515515 2,006423465 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-21 9,1855 9,1805 0,21751 0,21751 1,997938105 1,996850555 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-22 9,1625 9,1575 0,21877 0,21877 2,004480125 2,003386275 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-25 9,1685 9,1635 0,21919 0,21919 2,009643515 2,008547565 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-26 9,1375 9,1325 0,21826 0,21826 1,99435075 1,99325945 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-27 9,1465 9,1415 0,21563 0,21563 1,972259795 1,971181645 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-28 9,1505 9,1455 0,21458 0,21458 1,96351429 1,96244139 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-04-29 9,1705 9,1655 0,21382 0,21382 1,96083631 1,95976721 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-02 9,1935 9,1885 0,21447 0,21447 1,971729945 1,970657595 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-03 9,2245 9,2195 0,21449 0,21449 1,978563005 1,977490555 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-04 9,1915 9,1865 0,21544 0,21544 1,98021676 1,97913956 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-06 9,1715 9,1665 0,21631 0,21631 1,983887165 1,982805615 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-09 9,1815 9,1765 0,21781 0,21781 1,999822515 1,998733465 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-10 9,1985 9,1935 0,21717 0,21717 1,997638245 1,996552395 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-11 9,2105 9,2055 0,21663 0,21663 1,995270615 1,994187465 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-12 9,2315 9,2265 0,21728 0,21728 2,00582032 2,00473392 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-13 9,2045 9,1995 0,2175 0,2175 2,00197875 2,00089125 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-16 9,2145 9,2095 0,21834 0,21834 2,01189393 2,01080223 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-17 9,2325 9,2275 0,21853 0,21853 2,017578225 2,016485575 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-18 9,2095 9,2045 0,22117 0,22117 2,036865115 2,035759265 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-19 9,1905 9,1855 0,22211 0,22211 2,041301955 2,040191405 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-20 9,1955 9,1905 0,22209 0,22209 2,042228595 2,041118145 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-23 9,1805 9,1755 0,22267 0,22267 2,044221935 2,043108585 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-24 9,1815 9,1765 0,22331 0,22331 2,050320765 2,049204215 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-25 9,1785 9,1735 0,22435 0,22435 2,059196475 2,058074725 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-26 9,1945 9,1895 0,22404 0,22404 2,05993578 2,05881558 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-27 9,1955 9,1905 0,22501 0,22501 2,069079455 2,067954405 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-30 9,1905 9,1855 0,2259 0,2259 2,07613395 2,07500445 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-05-31 9,1665 9,1615 0,22644 0,22644 2,07566226 2,07453006 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-01 9,1455 9,1405 0,22745 0,22745 2,080143975 2,079006725 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-02 9,1565 9,1515 0,22939 0,22939 2,100409535 2,099262585 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-03 9,1315 9,1265 0,2281 0,2281 2,08289515 2,08175465 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-07 9,1455 9,1405 0,22764 0,22764 2,08188162 2,08074342 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-08 9,1455 9,1405 0,22913 0,22913 2,095508415 2,094362765 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-09 9,1965 9,1915 0,229 0,229 2,1059985 2,1048535 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-10 9,1975 9,1925 0,23067 0,23067 2,121587325 2,120433975 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-13 9,2365 9,2315 0,2316 0,2316 2,1391734 2,1380154 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-14 9,2985 9,2935 0,23171 0,23171 2,154555435 2,153396885 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-15 9,2695 9,2645 0,2323 0,2323 2,15330485 2,15214335 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-16 9,2695 9,2645 0,23281 0,23281 2,158032295 2,156868245 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-17 9,2695 9,2645 0,23438 0,23438 2,17258541 2,17141351 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-20 9,2255 9,2205 0,23423 0,23423 2,160888865 2,159717715 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-21 9,2725 9,2675 0,23467 0,23467 2,175977575 2,174804225 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-22 9,2615 9,2565 0,23572 0,23572 2,18312078 2,18194218 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-23 9,3535 9,3485 0,23663 0,23663 2,213318705 2,212135555 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-27 9,3855 9,3805 0,23218 0,23218 2,17912539 2,17796449 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-28 9,3995 9,3945 0,23354 0,23354 2,19515923 2,19399153 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-29 9,4215 9,4165 0,23548 0,23548 2,21857482 2,21739742 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-06-30 9,4415 9,4365 0,23644 0,23644 2,23234826 2,23116606 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-01 9,4595 9,4545 0,23627 0,23627 2,234996065 2,233814715 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-04 9,4795 9,4745 0,23829 0,23829 2,258870055 2,257678605 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-05 9,4575 9,4525 0,23898 0,23898 2,26015335 2,25895845 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-06 9,4195 9,4145 0,24045 0,24045 2,264918775 2,263716525 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-07 9,3965 9,3915 0,23551 0,23551 2,212969715 2,211792165 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-08 9,4175 9,4125 0,24191 0,24191 2,278187425 2,276977875 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-11 9,4665 9,4615 0,24328 0,24328 2,30301012 2,30179372 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-12 9,4645 9,4595 0,24222 0,24222 2,29249119 2,29128009 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-13 9,3915 9,3865 0,243 0,243 2,2821345 2,2809195 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-14 9,3675 9,3625 0,24265 0,24265 2,273023875 2,271810625 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-15 9,4055 9,4005 0,24191 0,24191 2,275284505 2,274074955 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-18 9,3895 9,3845 0,2431 0,2431 2,28258745 2,28137195 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-19 9,4425 9,4375 0,24226 0,24226 2,28754005 2,28632875 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-20 9,4265 9,4215 0,24449 0,24449 2,304684985 2,303462535 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-21 9,4625 9,4575 0,24189 0,24189 2,288884125 2,287674675 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-22 9,4495 9,4445 0,24151 0,24151 2,282148745 2,280941195 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-25 9,4275 9,4225 0,24207 0,24207 2,282114925 2,280904575 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-26 9,4155 9,4105 0,24285 0,24285 2,286554175 2,285339925 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-27 9,4725 9,4675 0,24468 0,24468 2,3177313 2,3165079 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-28 9,4515 9,4465 0,24758 0,24758 2,34000237 2,33876447 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-07-29 9,3885 9,3835 0,24792 0,24792 2,32759692 2,32635732 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-01 9,3985 9,3935 0,2472 0,2472 2,3233092 2,3220732 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-02 9,3995 9,3945 0,24791 0,24791 2,330230045 2,328990495 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-03 9,3755 9,3705 0,24816 0,24816 2,32662408 2,32538328 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-04 9,3735 9,3685 0,24813 0,24813 2,325846555 2,324605905 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-05 9,3355 9,3305 0,24672 0,24672 2,30325456 2,30202096 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-08 9,3335 9,3285 0,24807 0,24807 2,315361345 2,314120995 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-09 9,3455 9,3405 0,24868 0,24868 2,32403894 2,32279554 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-10 9,3535 9,3485 0,24878 0,24878 2,32696373 2,32571983 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-11 9,3365 9,3315 0,24869 0,24869 2,321894185 2,320650735 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-12 9,3025 9,2975 0,24875 0,24875 2,313996875 2,312753125 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-15 9,3065 9,3015 0,24852 0,24852 2,31285138 2,31160878 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-16 9,2995 9,2945 0,24764 0,24764 2,30292818 2,30168998 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-17 9,3405 9,3355 0,24547 0,24547 2,292812535 2,291585185 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-18 9,3365 9,3315 0,24538 0,24538 2,29099037 2,28976347 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-19 9,3395 9,3345 0,2469 0,2469 2,30592255 2,30468805 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-22 9,3655 9,3605 0,24848 0,24848 2,32713944 2,32589704 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-23 9,3715 9,3665 0,24896 0,24896 2,33312864 2,33188384 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-24 9,3365 9,3315 0,24741 0,24741 2,309943465 2,308706415 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-25 9,3335 9,3285 0,24542 0,24542 2,29062757 2,28940047 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-26 9,3415 9,3365 0,24574 0,24574 2,29558021 2,29435151 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-29 9,3295 9,3245 0,24341 0,24341 2,270893595 2,269676545 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-30 9,3285 9,3235 0,24643 0,24643 2,298822255 2,297590105 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-08-31 9,3585 9,3535 0,24834 0,24834 2,32408989 2,32284819 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-01 9,3365 9,3315 0,25083 0,25083 2,341874295 2,340620145 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-02 9,3025 9,2975 0,25101 0,25101 2,335020525 2,333765475 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-05 9,2845 9,2795 0,25093 0,25093 2,329759585 2,328504935 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-06 9,3225 9,3175 0,25135 0,25135 2,343210375 2,341953625 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-07 9,3075 9,3025 0,2532 0,2532 2,356659 2,355393 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-08 9,3255 9,3205 0,25386 0,25386 2,36737143 2,36610213 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-09 9,3445 9,3395 0,25364 0,25364 2,37013898 2,36887078 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-12 9,3015 9,2965 0,25582 0,25582 2,37950973 2,37823063 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-13 9,3015 9,2965 0,25747 0,25747 2,394857205 2,393569855 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-14 9,3365 9,3315 0,25774 0,25774 2,40638951 2,40510081 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-15 9,3425 9,3375 0,25775 0,25775 2,408029375 2,406740625 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-16 9,3465 9,3415 0,25745 0,25745 2,406256425 2,404969175 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-19 9,3355 9,3305 0,25797 0,25797 2,408278935 2,406989085 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-20 9,3395 9,3345 0,25881 0,25881 2,417155995 2,415861945 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-21 9,3405 9,3355 0,25834 0,25834 2,41302477 2,41173307 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-22 9,3405 9,3355 0,25801 0,25801 2,409942405 2,408652355 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-23 9,3695 9,3645 0,25848 0,25848 2,42182836 2,42053596 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-26 9,3815 9,3765 0,25964 0,25964 2,43581266 2,43451446 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-27 9,3885 9,3835 0,2596 0,2596 2,4372546 2,4359566 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-28 9,3935 9,3885 0,2578 0,2578 2,4216443 2,4203553 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-29 9,3845 9,3795 0,2588 0,2588 2,4287086 2,4274146 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-09-30 9,3435 9,3385 0,25989 0,25989 2,428282215 2,426982765 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-03 9,3025 9,2975 0,26078 0,26078 2,42590595 2,42460205 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-04 9,3185 9,3135 0,26114 0,26114 2,43343309 2,43212739 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-05 9,3105 9,3055 0,2584 0,2584 2,4058332 2,4045412 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-06 9,3015 9,2965 0,25378 0,25378 2,36053467 2,35926577 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-07 9,3385 9,3335 0,2547 0,2547 2,37851595 2,37724245 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-10 9,3465 9,3415 0,25649 0,25649 2,397283785 2,396001335 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-11 9,3395 9,3345 0,25508 0,25508 2,38231966 2,38104426 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-12 9,3375 9,3325 0,25409 0,25409 2,372565375 2,371294925 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-13 9,3815 9,3765 0,25024 0,25024 2,34762656 2,34637536 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-14 9,4135 9,4085 0,24527 0,24527 2,308849145 2,307622795 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-17 9,4575 9,4525 0,24732 0,24732 2,3390289 2,3377923 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-18 9,4625 9,4575 0,24787 0,24787 2,345469875 2,344230525 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-19 9,4605 9,4555 0,24169 0,24169 2,286508245 2,285299795 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-20 9,4935 9,4885 0,24234 0,24234 2,30065479 2,29944309 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-21 9,4915 9,4865 0,2372 0,2372 2,2513838 2,2501978 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-24 9,5455 9,5405 0,23887 0,23887 2,280133585 2,278939235 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-25 9,5465 9,5415 0,24232 0,24232 2,31330788 2,31209628 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-26 9,4975 9,4925 0,2427 0,2427 2,30504325 2,30382975 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-27 9,5355 9,5305 0,24204 0,24204 2,30797242 2,30676222 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-28 9,5135 9,5085 0,2394 0,2394 2,2775319 2,2763349 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-10-31 9,5495 9,5445 0,24338 0,24338 2,32415731 2,32294041 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-01 9,5495 9,5445 0,24678 0,24678 2,35662561 2,35539171 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-02 9,5855 9,5805 0,24574 0,24574 2,35554077 2,35431207 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-03 9,6515 9,6465 0,24666 0,24666 2,38063899 2,37940569 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-04 9,5875 9,5825 0,2489 0,2489 2,38632875 2,38508425 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-07 9,6075 9,6025 0,24806 0,24806 2,38323645 2,38199615 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-08 9,5685 9,5635 0,24824 0,24824 2,37528444 2,37404324 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-09 9,5575 9,5525 0,24829 0,24829 2,373031675 2,371790225 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-10 9,6105 9,6055 0,24958 0,24958 2,39858859 2,39734069 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-11 9,6365 9,6315 0,24977 0,24977 2,406908605 2,405659755 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-14 9,5505 9,5455 0,25112 0,25112 2,39832156 2,39706596 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-15 9,5805 9,5755 0,24956 0,24956 2,39090958 2,38966178 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-16 9,6235 9,6185 0,24819 0,24819 2,388456465 2,387215515 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-17 9,6355 9,6305 0,24882 0,24882 2,39750511 2,39626101 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-18 9,6085 9,6035 0,25017 0,25017 2,403758445 2,402507595 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-21 9,5915 9,5865 0,25055 0,25055 2,403150325 2,401897575 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-22 9,5585 9,5535 0,25047 0,25047 2,394117495 2,392865145 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-23 9,5155 9,5105 0,25188 0,25188 2,39676414 2,39550474 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-24 9,5125 9,5075 0,25253 0,25253 2,402191625 2,400928975 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-25 9,4965 9,4915 0,25436 0,25436 2,41552974 2,41425794 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-28 9,4835 9,4785 0,25452 0,25452 2,41374042 2,41246782 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-29 9,4785 9,4735 0,25165 0,25165 2,385264525 2,384006275 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-11-30 9,5295 9,5245 0,25185 0,25185 2,400004575 2,398745325 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-01 9,5165 9,5115 0,25287 0,25287 2,406437355 2,405173005 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-02 9,4905 9,4855 0,25714 0,25714 2,44038717 2,43910147 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-05 9,4065 9,4015 0,2578 0,2578 2,4249957 2,4237067 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-07 9,4255 9,4205 0,26078 0,26078 2,45798189 2,45667799 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-08 9,3965 9,3915 0,26058 0,26058 2,44853997 2,44723707 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-12 9,4315 9,4265 0,26199 0,26199 2,470958685 2,469648735 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-13 9,4295 9,4245 0,26044 0,26044 2,45581898 2,45451678 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-14 9,4365 9,4315 0,26126 0,26126 2,46537999 2,46407369 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-15 9,4345 9,4295 0,26157 0,26157 2,467782165 2,466474315 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-16 9,4765 9,4715 0,26174 0,26174 2,48037911 2,47907041 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-19 9,4535 9,4485 0,26168 0,26168 2,47379188 2,47248348 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-20 9,4015 9,3965 0,26025 0,26025 2,446740375 2,445439125 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-21 9,4485 9,4435 0,26205 0,26205 2,475979425 2,474669175 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-22 9,4365 9,4315 0,26102 0,26102 2,46311523 2,46181013 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-23 9,4425 9,4375 0,26293 0,26293 2,482716525 2,481401875 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-27 9,4915 9,4865 0,26339 0,26339 2,499966185 2,498649235 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-28 9,4345 9,4295 0,263 0,263 2,4812735 2,4799585 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-29 9,4115 9,4065 0,26397 0,26397 2,484353655 2,483033805 678656 Sampo Fondbolag Ab Sampo Finland Aktie EUR 2005-12-30 9,4325 9,4275 0,26338 0,26338 2,48433185 2,48301495 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-03 9,0065 9,0015 0,10531 0,10531 0,948474515 0,947947965 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-04 9,0345 9,0295 0,10464 0,10464 0,94537008 0,94484688 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-05 9,0615 9,0565 0,10471 0,10471 0,948829665 0,948306115 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-07 9,0615 9,0565 0,10492 0,10492 0,95073258 0,95020798 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-10 9,08619 9,08119 0,10679 0,10679 0,9703142301 0,9697802801 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-11 9,08619 9,08119 0,10586 0,10586 0,9618640734 0,9613347734 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-12 9,0455 9,0405 0,10598 0,10598 0,95864209 0,95811219 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-13 9,0505 9,0455 0,10613 0,10613 0,960529565 0,959998915 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-14 9,0455 9,0405 0,10716 0,10716 0,96931578 0,96877998 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-17 9,0685 9,0635 0,10757 0,10757 0,975498545 0,974960695 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-18 9,0585 9,0535 0,1067 0,1067 0,96654195 0,96600845 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-19 9,0225 9,0175 0,10592 0,10592 0,9556632 0,9551336 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-20 9,0315 9,0265 0,10642 0,10642 0,96113223 0,96060013 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-21 9,0505 9,0455 0,10614 0,10614 0,96062007 0,96008937 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-24 9,0655 9,0605 0,10578 0,10578 0,95894859 0,95841969 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-25 9,0715 9,0665 0,10585 0,10585 0,960218275 0,959689025 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-26 9,0885 9,0835 0,10584 0,10584 0,96192684 0,96139764 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-27 9,0675 9,0625 0,10522 0,10522 0,95408235 0,95355625 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-28 9,0955 9,0905 0,10623 0,10623 0,966214965 0,965683815 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-01-31 9,1075 9,1025 0,10622 0,10622 0,96739865 0,96686755 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-01 9,1035 9,0985 0,10607 0,10607 0,965608245 0,965077895 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-02 9,0905 9,0855 0,10576 0,10576 0,96141128 0,96088248 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-03 9,0695 9,0645 0,10544 0,10544 0,95628808 0,95576088 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-04 9,0895 9,0845 0,1067 0,1067 0,96984965 0,96931615 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-07 9,0755 9,0705 0,10708 0,10708 0,97180454 0,97126914 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-08 9,0895 9,0845 0,10636 0,10636 0,96675922 0,96622742 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-09 9,0695 9,0645 0,1069 0,1069 0,96952955 0,96899505 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-10 9,0805 9,0755 0,10631 0,10631 0,965347955 0,964816405 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-11 9,0935 9,0885 0,10685 0,10685 0,971640475 0,971106225 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-14 9,1105 9,1055 0,10679 0,10679 0,972910295 0,972376345 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-15 9,0765 9,0715 0,10671 0,10671 0,968553315 0,968019765 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-16 9,0705 9,0655 0,10571 0,10571 0,958842555 0,958314005 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-17 9,0925 9,0875 0,10566 0,10566 0,96071355 0,96018525 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-18 9,0945 9,0895 0,10563 0,10563 0,960652035 0,960123885 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-21 9,1185 9,1135 0,10533 0,10533 0,960451605 0,959924955 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-22 9,0975 9,0925 0,10447 0,10447 0,950415825 0,949893475 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-23 9,1045 9,0995 0,10419 0,10419 0,948597855 0,948076905 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-24 9,0715 9,0665 0,10459 0,10459 0,948788185 0,948265235 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-25 9,0845 9,0795 0,10552 0,10552 0,95859644 0,95806884 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-02-28 9,0505 9,0455 0,10585 0,10585 0,957995425 0,957466175 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-01 9,0565 9,0515 0,10681 0,10681 0,967324765 0,966790715 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-02 9,0645 9,0595 0,10739 0,10739 0,973436655 0,972899705 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-03 9,0675 9,0625 0,10727 0,10727 0,972670725 0,972134375 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-04 9,0415 9,0365 0,10743 0,10743 0,971328345 0,970791195 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-07 9,0425 9,0375 0,1065 0,1065 0,96302625 0,96249375 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-08 9,0345 9,0295 0,10668 0,10668 0,96380046 0,96326706 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-09 9,0365 9,0315 0,10612 0,10612 0,95895338 0,95842278 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-10 9,0655 9,0605 0,10592 0,10592 0,96021776 0,95968816 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-11 9,0795 9,0745 0,10555 0,10555 0,958341225 0,957813475 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-14 9,0695 9,0645 0,10444 0,10444 0,94721858 0,94669638 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-15 9,1035 9,0985 0,10536 0,10536 0,95914476 0,95861796 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-16 9,0975 9,0925 0,10504 0,10504 0,9556014 0,9550762 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-17 9,1045 9,0995 0,10557 0,10557 0,961162065 0,960634215 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-18 9,1035 9,0985 0,10559 0,10559 0,961238565 0,960710615 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-21 9,1265 9,1215 0,10607 0,10607 0,968047855 0,967517505 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-22 9,1265 9,1215 0,10577 0,10577 0,965309905 0,964781055 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-23 9,1165 9,1115 0,10573 0,10573 0,963887545 0,963358895 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-24 9,1135 9,1085 0,10437 0,10437 0,951175995 0,950654145 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-29 9,1315 9,1265 0,10347 0,10347 0,944836305 0,944318955 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-30 9,1425 9,1375 0,10387 0,10387 0,949631475 0,949112125 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-03-31 9,1405 9,1355 0,1048 0,1048 0,9579244 0,9574004 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-01 9,1645 9,1595 0,10461 0,10461 0,958698345 0,958175295 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-04 9,1695 9,1645 0,10512 0,10512 0,96389784 0,96337224 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-05 9,1745 9,1695 0,10539 0,10539 0,966900555 0,966373605 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-06 9,1705 9,1655 0,10503 0,10503 0,963177615 0,962652465 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-07 9,1505 9,1455 0,10561 0,10561 0,966384305 0,965856255 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-08 9,1625 9,1575 0,10505 0,10505 0,962520625 0,961995375 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-11 9,1705 9,1655 0,10406 0,10406 0,95428223 0,95376193 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-12 9,1525 9,1475 0,10325 0,10325 0,944995625 0,944479375 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-13 9,1495 9,1445 0,10328 0,10328 0,94496036 0,94444396 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-14 9,1685 9,1635 0,10245 0,10245 0,939312825 0,938800575 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-15 9,1925 9,1875 0,09895 0,09895 0,909597875 0,909103125 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-18 9,1805 9,1755 0,09942 0,09942 0,91272531 0,91222821 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-19 9,2035 9,1985 0,10007 0,10007 0,920994245 0,920493895 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-20 9,1915 9,1865 0,09907 0,09907 0,910601905 0,910106555 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-21 9,1855 9,1805 0,09962 0,09962 0,91505951 0,91456141 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-22 9,1625 9,1575 0,10074 0,10074 0,92303025 0,92252655 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-25 9,1685 9,1635 0,10129 0,10129 0,928677365 0,928170915 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-26 9,1375 9,1325 0,10086 0,10086 0,92160825 0,92110395 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-27 9,1465 9,1415 0,10122 0,10122 0,92580873 0,92530263 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-28 9,1505 9,1455 0,10122 0,10122 0,92621361 0,92570751 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-04-29 9,1705 9,1655 0,10246 0,10246 0,93960943 0,93909713 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-02 9,1935 9,1885 0,10288 0,10288 0,94582728 0,94531288 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-03 9,2245 9,2195 0,10315 0,10315 0,951507175 0,950991425 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-04 9,1915 9,1865 0,10477 0,10477 0,962993455 0,962469605 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-06 9,1715 9,1665 0,10445 0,10445 0,957963175 0,957440925 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-09 9,1815 9,1765 0,10478 0,10478 0,96203757 0,96151367 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-10 9,1985 9,1935 0,10387 0,10387 0,955448195 0,954928845 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-11 9,2105 9,2055 0,10402 0,10402 0,95807621 0,95755611 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-12 9,2315 9,2265 0,1034 0,1034 0,9545371 0,9540201 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-13 9,2045 9,1995 0,10304 0,10304 0,94843168 0,94791648 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-16 9,2145 9,2095 0,10163 0,10163 0,936469635 0,935961485 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-17 9,2325 9,2275 0,10172 0,10172 0,9391299 0,9386213 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-18 9,2095 9,2045 0,10346 0,10346 0,95281487 0,95229757 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-19 9,1905 9,1855 0,10387 0,10387 0,954617235 0,954097885 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-20 9,1955 9,1905 0,10383 0,10383 0,954768765 0,954249615 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-23 9,1805 9,1755 0,10442 0,10442 0,95862781 0,95810571 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-24 9,1815 9,1765 0,1036 0,1036 0,9512034 0,9506854 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-25 9,1785 9,1735 0,10315 0,10315 0,946762275 0,946246525 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-26 9,1945 9,1895 0,104 0,104 0,956228 0,955708 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-27 9,1955 9,1905 0,10512 0,10512 0,96663096 0,96610536 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-30 9,1905 9,1855 0,10572 0,10572 0,97161966 0,97109106 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-05-31 9,1665 9,1615 0,10704 0,10704 0,98118216 0,98064696 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-01 9,1455 9,1405 0,10787 0,10787 0,986525085 0,985985735 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-02 9,1565 9,1515 0,10754 0,10754 0,98469001 0,98415231 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-03 9,1315 9,1265 0,10798 0,10798 0,98601937 0,98547947 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-07 9,1455 9,1405 0,10946 0,10946 1,00106643 1,00051913 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-08 9,1455 9,1405 0,10825 0,10825 0,990000375 0,989459125 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-09 9,1965 9,1915 0,10928 0,10928 1,00499352 1,00444712 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-10 9,1975 9,1925 0,10945 0,10945 1,006666375 1,006119125 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-13 9,2365 9,2315 0,10924 0,10924 1,00899526 1,00844906 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-14 9,2985 9,2935 0,10943 0,10943 1,017534855 1,016987705 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-15 9,2695 9,2645 0,11036 0,11036 1,02298202 1,02243022 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-16 9,2695 9,2645 0,11054 0,11054 1,02465053 1,02409783 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-17 9,2695 9,2645 0,11021 0,11021 1,021591595 1,021040545 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-20 9,2255 9,2205 0,10995 0,10995 1,014343725 1,013793975 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-21 9,2725 9,2675 0,11087 0,11087 1,028042075 1,027487725 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-22 9,2615 9,2565 0,111 0,111 1,0280265 1,0274715 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-23 9,3535 9,3485 0,11047 0,11047 1,033281145 1,032728795 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-27 9,3855 9,3805 0,11 0,11 1,032405 1,031855 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-28 9,3995 9,3945 0,11079 0,11079 1,041370605 1,040816655 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-29 9,4215 9,4165 0,1109 0,1109 1,04484435 1,04428985 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-06-30 9,4415 9,4365 0,11133 0,11133 1,051122195 1,050565545 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-01 9,4595 9,4545 0,11126 0,11126 1,05246397 1,05190767 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-04 9,4795 9,4745 0,112 0,112 1,061704 1,061144 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-05 9,4575 9,4525 0,11191 0,11191 1,058388825 1,057829275 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-06 9,4195 9,4145 0,11124 0,11124 1,04782518 1,04726898 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-07 9,3965 9,3915 0,11101 0,11101 1,043105465 1,042550415 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-08 9,4175 9,4125 0,11144 0,11144 1,0494862 1,048929 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-11 9,4665 9,4615 0,11104 0,11104 1,05116016 1,05060496 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-12 9,4645 9,4595 0,1101 0,1101 1,04204145 1,04149095 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-13 9,3915 9,3865 0,11056 0,11056 1,03832424 1,03777144 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-14 9,3675 9,3625 0,11097 0,11097 1,039511475 1,038956625 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-15 9,4055 9,4005 0,11084 0,11084 1,04250562 1,04195142 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-18 9,3895 9,3845 0,11056 0,11056 1,03810312 1,03755032 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-19 9,4425 9,4375 0,11146 0,11146 1,05246105 1,05190375 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-20 9,4265 9,4215 0,11051 0,11051 1,041722515 1,041169965 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-21 9,4625 9,4575 0,1094 0,1094 1,0351975 1,0346505 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-22 9,4495 9,4445 0,11099 0,11099 1,048800005 1,048245055 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-25 9,4275 9,4225 0,11076 0,11076 1,0441899 1,0436361 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-26 9,4155 9,4105 0,11186 0,11186 1,05321783 1,05265853 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-27 9,4725 9,4675 0,11219 0,11219 1,062719775 1,062158825 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-28 9,4515 9,4465 0,11186 0,11186 1,05724479 1,05668549 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-07-29 9,3885 9,3835 0,11273 0,11273 1,058365605 1,057801955 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-01 9,3985 9,3935 0,11185 0,11185 1,051222225 1,050662975 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-02 9,3995 9,3945 0,11277 0,11277 1,059981615 1,059417765 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-03 9,3755 9,3705 0,1109 0,1109 1,03974295 1,03918845 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-04 9,3735 9,3685 0,1094 0,1094 1,0254609 1,0249139 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-05 9,3355 9,3305 0,10862 0,10862 1,01402201 1,01347891 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-08 9,3335 9,3285 0,1105 0,1105 1,03135175 1,03079925 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-09 9,3455 9,3405 0,11162 0,11162 1,04314471 1,04258661 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-10 9,3535 9,3485 0,11415 0,11415 1,067702025 1,067131275 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-11 9,3365 9,3315 0,11469 0,11469 1,070803185 1,070229735 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-12 9,3025 9,2975 0,11505 0,11505 1,070252625 1,069677375 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-15 9,3065 9,3015 0,11599 0,11599 1,079460935 1,078880985 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-16 9,2995 9,2945 0,11742 0,11742 1,09194729 1,09136019 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-17 9,3405 9,3355 0,1171 0,1171 1,09377255 1,09318705 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-18 9,3365 9,3315 0,11669 0,11669 1,089476185 1,088892735 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-19 9,3395 9,3345 0,11855 0,11855 1,107197725 1,106604975 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-22 9,3655 9,3605 0,12052 0,12052 1,12873006 1,12812746 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-23 9,3715 9,3665 0,11919 0,11919 1,116989085 1,116393135 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-24 9,3365 9,3315 0,11863 0,11863 1,107588995 1,106995845 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-25 9,3335 9,3285 0,1185 0,1185 1,10601975 1,10542725 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-26 9,3415 9,3365 0,11771 0,11771 1,099587965 1,098999415 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-29 9,3295 9,3245 0,11847 0,11847 1,105265865 1,104673515 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-30 9,3285 9,3235 0,11855 0,11855 1,105893675 1,105300925 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-08-31 9,3585 9,3535 0,11922 0,11922 1,11572037 1,11512427 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-01 9,3365 9,3315 0,11879 0,11879 1,109082835 1,108488885 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-02 9,3025 9,2975 0,11905 0,11905 1,107462625 1,106867375 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-05 9,2845 9,2795 0,11972 0,11972 1,11154034 1,11094174 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-06 9,3225 9,3175 0,11882 0,11882 1,10769945 1,10710535 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-07 9,3075 9,3025 0,11809 0,11809 1,099122675 1,098532225 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-08 9,3255 9,3205 0,11937 0,11937 1,113184935 1,112588085 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-09 9,3445 9,3395 0,1212 0,1212 1,1325534 1,1319474 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-12 9,3015 9,2965 0,12346 0,12346 1,14836319 1,14774589 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-13 9,3015 9,2965 0,12254 0,12254 1,13980581 1,13919311 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-14 9,3365 9,3315 0,12427 0,12427 1,160246855 1,159625505 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-15 9,3425 9,3375 0,12501 0,12501 1,167905925 1,167280875 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-16 9,3465 9,3415 0,12426 0,12426 1,16139609 1,16077479 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-19 9,3355 9,3305 0,1266 0,1266 1,1818743 1,1812413 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-20 9,3395 9,3345 0,12694 0,12694 1,18555613 1,18492143 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-21 9,3405 9,3355 0,12678 0,12678 1,18418859 1,18355469 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-22 9,3405 9,3355 0,12683 0,12683 1,184655615 1,184021465 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-23 9,3695 9,3645 0,13016 0,13016 1,21953412 1,21888332 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-26 9,3815 9,3765 0,13018 0,13018 1,22128367 1,22063277 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-27 9,3885 9,3835 0,13159 0,13159 1,235432715 1,234774765 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-28 9,3935 9,3885 0,13349 0,13349 1,253938315 1,253270865 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-29 9,3845 9,3795 0,13341 0,13341 1,251986145 1,251319095 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-09-30 9,3435 9,3385 0,13181 0,13181 1,231566735 1,230907685 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-03 9,3025 9,2975 0,13357 0,13357 1,242534925 1,241867075 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-04 9,3185 9,3135 0,13212 0,13212 1,23116022 1,23049962 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-05 9,3105 9,3055 0,12929 0,12929 1,203754545 1,203108095 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-06 9,3015 9,2965 0,1281 0,1281 1,19152215 1,19088165 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-07 9,3385 9,3335 0,12711 0,12711 1,187016735 1,186381185 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-10 9,3465 9,3415 0,12889 0,12889 1,204670385 1,204025935 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-11 9,3395 9,3345 0,13146 0,13146 1,22777067 1,22711337 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-12 9,3375 9,3325 0,12999 0,12999 1,213781625 1,213131675 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-13 9,3815 9,3765 0,13022 0,13022 1,22165893 1,22100783 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-14 9,4135 9,4085 0,1296 0,1296 1,2199896 1,2193416 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-17 9,4575 9,4525 0,12914 0,12914 1,22134155 1,22069585 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-18 9,4625 9,4575 0,1266 0,1266 1,1979525 1,1973195 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-19 9,4605 9,4555 0,12776 0,12776 1,20867348 1,20803468 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-20 9,4935 9,4885 0,12721 0,12721 1,207668135 1,207032085 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-21 9,4915 9,4865 0,12672 0,12672 1,20276288 1,20212928 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-24 9,5455 9,5405 0,1289 0,1289 1,23041495 1,22977045 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-25 9,5465 9,5415 0,12899 0,12899 1,231403035 1,230758085 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-26 9,4975 9,4925 0,1298 0,1298 1,2327755 1,2321265 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-27 9,5355 9,5305 0,12909 0,12909 1,230937695 1,230292245 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-28 9,5135 9,5085 0,13171 0,13171 1,253023085 1,252364535 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-10-31 9,5495 9,5445 0,1346 0,1346 1,2853627 1,2846897 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-01 9,5495 9,5445 0,13439 0,13439 1,283357305 1,282685355 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-02 9,5855 9,5805 0,1341 0,1341 1,28541555 1,28474505 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-03 9,6515 9,6465 0,13534 0,13534 1,30623401 1,30555731 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-04 9,5875 9,5825 0,13619 0,13619 1,305721625 1,305040675 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-07 9,6075 9,6025 0,1375 0,1375 1,32103125 1,32034375 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-08 9,5685 9,5635 0,13755 0,13755 1,316147175 1,315459425 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-09 9,5575 9,5525 0,13732 0,13732 1,3124359 1,3117493 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-10 9,6105 9,6055 0,13792 0,13792 1,32548016 1,32479056 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-11 9,6365 9,6315 0,13654 0,13654 1,31576771 1,31508501 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-14 9,5505 9,5455 0,13487 0,13487 1,288075935 1,287401585 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-15 9,5805 9,5755 0,1363 0,1363 1,30582215 1,30514065 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-16 9,6235 9,6185 0,138 0,138 1,328043 1,327353 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-17 9,6355 9,6305 0,14007 0,14007 1,349644485 1,348944135 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-18 9,6085 9,6035 0,13968 0,13968 1,34211528 1,34141688 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-21 9,5915 9,5865 0,13803 0,13803 1,323914745 1,323224595 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-22 9,5585 9,5535 0,13894 0,13894 1,32805799 1,32736329 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-23 9,5155 9,5105 0,13851 0,13851 1,317991905 1,317299355 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-24 9,5125 9,5075 0,13885 0,13885 1,320810625 1,320116375 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-25 9,4965 9,4915 0,14002 0,14002 1,32969993 1,32899983 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-28 9,4835 9,4785 0,14001 0,14001 1,327784835 1,327084785 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-29 9,4785 9,4735 0,13844 0,13844 1,31220354 1,31151134 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-11-30 9,5295 9,5245 0,14063 0,14063 1,340133585 1,339430435 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-01 9,5165 9,5115 0,14224 0,14224 1,35362696 1,35291576 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-02 9,4905 9,4855 0,14376 0,14376 1,36435428 1,36363548 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-05 9,4065 9,4015 0,14237 0,14237 1,339203405 1,338491555 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-07 9,4255 9,4205 0,13987 0,13987 1,318344685 1,317645335 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-08 9,3965 9,3915 0,14208 0,14208 1,33505472 1,33434432 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-12 9,4315 9,4265 0,14346 0,14346 1,35304299 1,35232569 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-13 9,4295 9,4245 0,14103 0,14103 1,329842385 1,329137235 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-14 9,4365 9,4315 0,14037 0,14037 1,324601505 1,323899655 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-15 9,4345 9,4295 0,14333 0,14333 1,352246885 1,351530235 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-16 9,4765 9,4715 0,14384 0,14384 1,36309976 1,36238056 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-19 9,4535 9,4485 0,14548 0,14548 1,37529518 1,37456778 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-20 9,4015 9,3965 0,14718 0,14718 1,38371277 1,38297687 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-21 9,4485 9,4435 0,14743 0,14743 1,392992355 1,392255205 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-22 9,4365 9,4315 0,14765 0,14765 1,393299225 1,392560975 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-23 9,4425 9,4375 0,14819 0,14819 1,399284075 1,398543125 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-27 9,4915 9,4865 0,14864 0,14864 1,41081656 1,41007336 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-28 9,4345 9,4295 0,14861 0,14861 1,402061045 1,401317995 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-29 9,4115 9,4065 0,14728 0,14728 1,38612572 1,38538932 965293 Sampo Fondbolag Ab Sampo Japan Aktie EUR 2005-12-30 9,4325 9,4275 0,14771 0,14771 1,393274575 1,392536025 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-03 9,0065 9,0015 0,0808 0,0808 0,7277252 0,7273212 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-04 9,0345 9,0295 0,08085 0,08085 0,730439325 0,730035075 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-05 9,0615 9,0565 0,08154 0,08154 0,73887471 0,73846701 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-07 9,0615 9,0565 0,08161 0,08161 0,739509015 0,739100965 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-10 9,08619 9,08119 0,08259 0,08259 0,7504284321 0,7500154821 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-11 9,08619 9,08119 0,08197 0,08197 0,7447949943 0,7443851443 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-12 9,0455 9,0405 0,08232 0,08232 0,74462556 0,74421396 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-13 9,0505 9,0455 0,08096 0,08096 0,73272848 0,73232368 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-14 9,0455 9,0405 0,08204 0,08204 0,74209282 0,74168262 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-17 9,0685 9,0635 0,08207 0,08207 0,744251795 0,743841445 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-18 9,0585 9,0535 0,08293 0,08293 0,751221405 0,750806755 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-19 9,0225 9,0175 0,08202 0,08202 0,74002545 0,73961535 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-20 9,0315 9,0265 0,08248 0,08248 0,74491812 0,74450572 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-21 9,0505 9,0455 0,08173 0,08173 0,739697365 0,739288715 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-24 9,0655 9,0605 0,08081 0,08081 0,732583055 0,732179005 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-25 9,0715 9,0665 0,08115 0,08115 0,736152225 0,735746475 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-26 9,0885 9,0835 0,08177 0,08177 0,743166645 0,742757795 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-27 9,0675 9,0625 0,08169 0,08169 0,740724075 0,740315625 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-28 9,0955 9,0905 0,08143 0,08143 0,740646565 0,740239415 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-01-31 9,1075 9,1025 0,08202 0,08202 0,74699715 0,74658705 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-01 9,1035 9,0985 0,08251 0,08251 0,751129785 0,750717235 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-02 9,0905 9,0855 0,08242 0,08242 0,74923901 0,74882691 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-03 9,0695 9,0645 0,0824 0,0824 0,7473268 0,7469148 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-04 9,0895 9,0845 0,08349 0,08349 0,758882355 0,758464905 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-07 9,0755 9,0705 0,08415 0,08415 0,763703325 0,763282575 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-08 9,0895 9,0845 0,0848 0,0848 0,7707896 0,7703656 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-09 9,0695 9,0645 0,08397 0,08397 0,761565915 0,761146065 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-10 9,0805 9,0755 0,08406 0,08406 0,76330683 0,76288653 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-11 9,0935 9,0885 0,0842 0,0842 0,7656727 0,7652517 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-14 9,1105 9,1055 0,08358 0,08358 0,76145559 0,76103769 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-15 9,0765 9,0715 0,08384 0,08384 0,76097376 0,76055456 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-16 9,0705 9,0655 0,08339 0,08339 0,756388995 0,755972045 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-17 9,0925 9,0875 0,08254 0,08254 0,75049495 0,75008225 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-18 9,0945 9,0895 0,08278 0,08278 0,75284271 0,75242881 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-21 9,1185 9,1135 0,08277 0,08277 0,754738245 0,754324395 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-22 9,0975 9,0925 0,08062 0,08062 0,73344045 0,73303735 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-23 9,1045 9,0995 0,08104 0,08104 0,73782868 0,73742348 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-24 9,0715 9,0665 0,08117 0,08117 0,736333655 0,735927805 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-25 9,0845 9,0795 0,08236 0,08236 0,74819942 0,74778762 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-02-28 9,0505 9,0455 0,08146 0,08146 0,73725373 0,73684643 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-01 9,0565 9,0515 0,08243 0,08243 0,746527295 0,746115145 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-02 9,0645 9,0595 0,08288 0,08288 0,75126576 0,75085136 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-03 9,0675 9,0625 0,08259 0,08259 0,748884825 0,748471875 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-04 9,0415 9,0365 0,08349 0,08349 0,754874835 0,754457385 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-07 9,0425 9,0375 0,08307 0,08307 0,751160475 0,750745125 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-08 9,0345 9,0295 0,08236 0,08236 0,74408142 0,74366962 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-09 9,0365 9,0315 0,08094 0,08094 0,73141431 0,73100961 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-10 9,0655 9,0605 0,08081 0,08081 0,732583055 0,732179005 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-11 9,0795 9,0745 0,0803 0,0803 0,72908385 0,72868235 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-14 9,0695 9,0645 0,08065 0,08065 0,731455175 0,731051925 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-15 9,1035 9,0985 0,08025 0,08025 0,730555875 0,730154625 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-16 9,0975 9,0925 0,07959 0,07959 0,724070025 0,723672075 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-17 9,1045 9,0995 0,07956 0,07956 0,72435402 0,72395622 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-18 9,1035 9,0985 0,07983 0,07983 0,726732405 0,726333255 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-21 9,1265 9,1215 0,08014 0,08014 0,73139771 0,73099701 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-22 9,1265 9,1215 0,07938 0,07938 0,72446157 0,72406467 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-23 9,1165 9,1115 0,08044 0,08044 0,73333126 0,73292906 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-24 9,1135 9,1085 0,08064 0,08064 0,73491264 0,73450944 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-29 9,1315 9,1265 0,08044 0,08044 0,73453786 0,73413566 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-30 9,1425 9,1375 0,08148 0,08148 0,7449309 0,7445235 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-03-31 9,1405 9,1355 0,08122 0,08122 0,74239141 0,74198531 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-01 9,1645 9,1595 0,08049 0,08049 0,737650605 0,737248155 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-04 9,1695 9,1645 0,08131 0,08131 0,745572045 0,745165495 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-05 9,1745 9,1695 0,08224 0,08224 0,75451088 0,75409968 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-06 9,1705 9,1655 0,0817 0,0817 0,74922985 0,74882135 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-07 9,1505 9,1455 0,08204 0,08204 0,75070702 0,75029682 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-08 9,1625 9,1575 0,08182 0,08182 0,74967575 0,74926665 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-11 9,1705 9,1655 0,0811 0,0811 0,74372755 0,74332205 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-12 9,1525 9,1475 0,08137 0,08137 0,744738925 0,744332075 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-13 9,1495 9,1445 0,08096 0,08096 0,74074352 0,74033872 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-14 9,1685 9,1635 0,08089 0,08089 0,741639965 0,741235515 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-15 9,1925 9,1875 0,07988 0,07988 0,7342969 0,7338975 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-18 9,1805 9,1755 0,07909 0,07909 0,726085745 0,725690295 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-19 9,2035 9,1985 0,07918 0,07918 0,72873313 0,72833723 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-20 9,1915 9,1865 0,07813 0,07813 0,718131895 0,717741245 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-21 9,1855 9,1805 0,07903 0,07903 0,725930065 0,725534915 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-22 9,1625 9,1575 0,07863 0,07863 0,720447375 0,720054225 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-25 9,1685 9,1635 0,07956 0,07956 0,72944586 0,72904806 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-26 9,1375 9,1325 0,07901 0,07901 0,721953875 0,721558825 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-27 9,1465 9,1415 0,07972 0,07972 0,72915898 0,72876038 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-28 9,1505 9,1455 0,07972 0,07972 0,72947786 0,72907926 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-04-29 9,1705 9,1655 0,07956 0,07956 0,72960498 0,72920718 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-02 9,1935 9,1885 0,08029 0,08029 0,738146115 0,737744665 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-03 9,2245 9,2195 0,08051 0,08051 0,742664495 0,742261945 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-04 9,1915 9,1865 0,08063 0,08063 0,741110645 0,740707495 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-06 9,1715 9,1665 0,08055 0,08055 0,738764325 0,738361575 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-09 9,1815 9,1765 0,08173 0,08173 0,750403995 0,749995345 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-10 9,1985 9,1935 0,08078 0,08078 0,74305483 0,74265093 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-11 9,2105 9,2055 0,08069 0,08069 0,743195245 0,742791795 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-12 9,2315 9,2265 0,08067 0,08067 0,744705105 0,744301755 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-13 9,2045 9,1995 0,08126 0,08126 0,74795767 0,74755137 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-16 9,2145 9,2095 0,08219 0,08219 0,757339755 0,756928805 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-17 9,2325 9,2275 0,08243 0,08243 0,761034975 0,760622825 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-18 9,2095 9,2045 0,08345 0,08345 0,768532775 0,768115525 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-19 9,1905 9,1855 0,08351 0,08351 0,767498655 0,767081105 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-20 9,1955 9,1905 0,08343 0,08343 0,767180565 0,766763415 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-23 9,1805 9,1755 0,08415 0,08415 0,772539075 0,772118325 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-24 9,1815 9,1765 0,08366 0,08366 0,76812429 0,76770599 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-25 9,1785 9,1735 0,0835 0,0835 0,76640475 0,76598725 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-26 9,1945 9,1895 0,08403 0,08403 0,772613835 0,772193685 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-27 9,1955 9,1905 0,08411 0,08411 0,773433505 0,773012955 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-30 9,1905 9,1855 0,08433 0,08433 0,775034865 0,774613215 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-05-31 9,1665 9,1615 0,08489 0,08489 0,778144185 0,777719735 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-01 9,1455 9,1405 0,08617 0,08617 0,788067735 0,787636885 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-02 9,1565 9,1515 0,08615 0,08615 0,788832475 0,788401725 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-03 9,1315 9,1265 0,08556 0,08556 0,78129114 0,78086334 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-07 9,1455 9,1405 0,0855 0,0855 0,78194025 0,78151275 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-08 9,1455 9,1405 0,08512 0,08512 0,77846496 0,77803936 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-09 9,1965 9,1915 0,08608 0,08608 0,79163472 0,79120432 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-10 9,1975 9,1925 0,08596 0,08596 0,7906171 0,7901873 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-13 9,2365 9,2315 0,08751 0,08751 0,808286115 0,807848565 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-14 9,2985 9,2935 0,08734 0,08734 0,81213099 0,81169429 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-15 9,2695 9,2645 0,08813 0,08813 0,816921035 0,816480385 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-16 9,2695 9,2645 0,08783 0,08783 0,814140185 0,813701035 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-17 9,2695 9,2645 0,08763 0,08763 0,812286285 0,811848135 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-20 9,2255 9,2205 0,08734 0,08734 0,80575517 0,80531847 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-21 9,2725 9,2675 0,08807 0,08807 0,816629075 0,816188725 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-22 9,2615 9,2565 0,08787 0,08787 0,813808005 0,813368655 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-23 9,3535 9,3485 0,08666 0,08666 0,81057431 0,81014101 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-27 9,3855 9,3805 0,08589 0,08589 0,806120595 0,805691145 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-28 9,3995 9,3945 0,08738 0,08738 0,82132831 0,82089141 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-29 9,4215 9,4165 0,08754 0,08754 0,82475811 0,82432041 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-06-30 9,4415 9,4365 0,08724 0,08724 0,82367646 0,82324026 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-01 9,4595 9,4545 0,08718 0,08718 0,82467921 0,82424331 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-04 9,4795 9,4745 0,0885 0,0885 0,83893575 0,83849325 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-05 9,4575 9,4525 0,08926 0,08926 0,84417645 0,84373015 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-06 9,4195 9,4145 0,08862 0,08862 0,83475609 0,83431299 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-07 9,3965 9,3915 0,0881 0,0881 0,82783165 0,82739115 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-08 9,4175 9,4125 0,08994 0,08994 0,84700995 0,84656025 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-11 9,4665 9,4615 0,08981 0,08981 0,850186365 0,849737315 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-12 9,4645 9,4595 0,08876 0,08876 0,84006902 0,83962522 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-13 9,3915 9,3865 0,08871 0,08871 0,833119965 0,832676415 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-14 9,3675 9,3625 0,08975 0,08975 0,840733125 0,840284375 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-15 9,4055 9,4005 0,08953 0,08953 0,842074415 0,841626765 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-18 9,3895 9,3845 0,08925 0,08925 0,838012875 0,837566625 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-19 9,4425 9,4375 0,09036 0,09036 0,8532243 0,8527725 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-20 9,4265 9,4215 0,09015 0,09015 0,849798975 0,849348225 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-21 9,4625 9,4575 0,08904 0,08904 0,842541 0,8420958 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-22 9,4495 9,4445 0,08939 0,08939 0,844690805 0,844243855 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-25 9,4275 9,4225 0,08951 0,08951 0,843855525 0,843407975 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-26 9,4155 9,4105 0,08975 0,08975 0,845041125 0,844592375 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-27 9,4725 9,4675 0,09017 0,09017 0,854135325 0,853684475 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-28 9,4515 9,4465 0,08999 0,08999 0,850540485 0,850090535 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-07-29 9,3885 9,3835 0,08905 0,08905 0,836045925 0,835600675 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-01 9,3985 9,3935 0,08822 0,08822 0,82913567 0,82869457 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-02 9,3995 9,3945 0,08868 0,08868 0,83354766 0,83310426 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-03 9,3755 9,3705 0,08803 0,08803 0,825325265 0,824885115 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-04 9,3735 9,3685 0,08723 0,08723 0,817650405 0,817214255 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-05 9,3355 9,3305 0,08651 0,08651 0,807614105 0,807181555 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-08 9,3335 9,3285 0,08624 0,08624 0,80492104 0,80448984 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-09 9,3455 9,3405 0,08688 0,08688 0,81193704 0,81150264 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-10 9,3535 9,3485 0,0866 0,0866 0,8100131 0,8095801 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-11 9,3365 9,3315 0,08702 0,08702 0,81246223 0,81202713 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-12 9,3025 9,2975 0,08613 0,08613 0,801224325 0,800793675 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-15 9,3065 9,3015 0,08706 0,08706 0,81022389 0,80978859 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-16 9,2995 9,2945 0,08654 0,08654 0,80477873 0,80434603 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-17 9,3405 9,3355 0,08671 0,08671 0,809914755 0,809481205 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-18 9,3365 9,3315 0,08719 0,08719 0,814049435 0,813613485 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-19 9,3395 9,3345 0,08751 0,08751 0,817299645 0,816862095 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-22 9,3655 9,3605 0,08731 0,08731 0,817701805 0,817265255 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-23 9,3715 9,3665 0,08672 0,08672 0,81269648 0,81226288 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-24 9,3365 9,3315 0,08641 0,08641 0,806766965 0,806334915 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-25 9,3335 9,3285 0,08595 0,08595 0,802214325 0,801784575 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-26 9,3415 9,3365 0,08539 0,08539 0,797670685 0,797243735 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-29 9,3295 9,3245 0,08593 0,08593 0,801683935 0,801254285 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-30 9,3285 9,3235 0,08641 0,08641 0,806075685 0,805643635 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-08-31 9,3585 9,3535 0,08695 0,08695 0,813721575 0,813286825 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-01 9,3365 9,3315 0,08543 0,08543 0,797617195 0,797190045 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-02 9,3025 9,2975 0,08419 0,08419 0,783177475 0,782756525 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-05 9,2845 9,2795 0,08422 0,08422 0,78194059 0,78151949 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-06 9,3225 9,3175 0,08547 0,08547 0,796794075 0,796366725 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-07 9,3075 9,3025 0,08561 0,08561 0,796815075 0,796387025 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-08 9,3255 9,3205 0,08574 0,08574 0,79956837 0,79913967 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-09 9,3445 9,3395 0,08644 0,08644 0,80773858 0,80730638 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-12 9,3015 9,2965 0,08723 0,08723 0,811369845 0,810933695 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-13 9,3015 9,2965 0,08693 0,08693 0,808579395 0,808144745 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-14 9,3365 9,3315 0,08657 0,08657 0,808260805 0,807827955 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-15 9,3425 9,3375 0,08686 0,08686 0,81148955 0,81105525 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-16 9,3465 9,3415 0,08728 0,08728 0,81576252 0,81532612 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-19 9,3355 9,3305 0,08775 0,08775 0,819190125 0,818751375 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-20 9,3395 9,3345 0,08691 0,08691 0,811695945 0,811261395 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-21 9,3405 9,3355 0,08545 0,08545 0,798145725 0,797718475 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-22 9,3405 9,3355 0,08565 0,08565 0,800013825 0,799585575 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-23 9,3695 9,3645 0,08644 0,08644 0,80989958 0,80946738 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-26 9,3815 9,3765 0,08688 0,08688 0,81506472 0,81463032 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-27 9,3885 9,3835 0,08704 0,08704 0,81717504 0,81673984 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-28 9,3935 9,3885 0,08683 0,08683 0,815637605 0,815203455 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-29 9,3845 9,3795 0,08737 0,08737 0,819923765 0,819486915 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-09-30 9,3435 9,3385 0,08749 0,08749 0,817462815 0,817025365 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-03 9,3025 9,2975 0,08819 0,08819 0,820387475 0,819946525 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-04 9,3185 9,3135 0,08731 0,08731 0,813598235 0,813161685 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-05 9,3105 9,3055 0,08617 0,08617 0,802285785 0,801854935 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-06 9,3015 9,2965 0,08539 0,08539 0,794255085 0,793828135 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-07 9,3385 9,3335 0,08492 0,08492 0,79302542 0,79260082 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-10 9,3465 9,3415 0,0849 0,0849 0,79351785 0,79309335 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-11 9,3395 9,3345 0,08519 0,08519 0,795632005 0,795206055 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-12 9,3375 9,3325 0,08498 0,08498 0,79350075 0,79307585 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-13 9,3815 9,3765 0,08513 0,08513 0,798647095 0,798221445 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-14 9,4135 9,4085 0,08572 0,08572 0,80692522 0,80649662 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-17 9,4575 9,4525 0,08545 0,08545 0,808143375 0,807716125 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-18 9,4625 9,4575 0,08553 0,08553 0,809327625 0,808899975 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-19 9,4605 9,4555 0,0864 0,0864 0,8173872 0,8169552 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-20 9,4935 9,4885 0,08546 0,08546 0,81131451 0,81088721 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-21 9,4915 9,4865 0,08515 0,08515 0,808201225 0,807775475 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-24 9,5455 9,5405 0,08676 0,08676 0,82816758 0,82773378 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-25 9,5465 9,5415 0,08581 0,08581 0,819185165 0,818756115 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-26 9,4975 9,4925 0,08522 0,08522 0,80937695 0,80895085 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-27 9,5355 9,5305 0,08411 0,08411 0,802030905 0,801610355 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-28 9,5135 9,5085 0,08502 0,08502 0,80883777 0,80841267 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-10-31 9,5495 9,5445 0,08627 0,08627 0,823835365 0,823404015 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-01 9,5495 9,5445 0,08619 0,08619 0,823071405 0,822640455 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-02 9,5855 9,5805 0,08717 0,08717 0,835568035 0,835132185 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-03 9,6515 9,6465 0,08719 0,08719 0,841514285 0,841078335 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-04 9,5875 9,5825 0,08815 0,08815 0,845138125 0,844697375 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-07 9,6075 9,6025 0,08931 0,08931 0,858045825 0,857599275 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-08 9,5685 9,5635 0,08976 0,08976 0,85886856 0,85841976 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-09 9,5575 9,5525 0,08985 0,08985 0,858741375 0,858292125 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-10 9,6105 9,6055 0,09042 0,09042 0,86898141 0,86852931 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-11 9,6365 9,6315 0,09123 0,09123 0,879137895 0,878681745 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-14 9,5505 9,5455 0,09088 0,09088 0,86794944 0,86749504 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-15 9,5805 9,5755 0,09102 0,09102 0,87201711 0,87156201 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-16 9,6235 9,6185 0,09068 0,09068 0,87265898 0,87220558 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-17 9,6355 9,6305 0,09139 0,09139 0,880588345 0,880131395 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-18 9,6085 9,6035 0,09178 0,09178 0,88186813 0,88140923 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-21 9,5915 9,5865 0,09115 0,09115 0,874265225 0,873809475 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-22 9,5585 9,5535 0,09244 0,09244 0,88358774 0,88312554 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-23 9,5155 9,5105 0,09228 0,09228 0,87809034 0,87762894 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-24 9,5125 9,5075 0,09211 0,09211 0,876196375 0,875735825 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-25 9,4965 9,4915 0,09267 0,09267 0,880040655 0,879577305 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-28 9,4835 9,4785 0,09228 0,09228 0,87513738 0,87467598 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-29 9,4785 9,4735 0,0915 0,0915 0,86728275 0,86682525 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-11-30 9,5295 9,5245 0,09137 0,09137 0,870710415 0,870253565 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-01 9,5165 9,5115 0,09224 0,09224 0,87780196 0,87734076 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-02 9,4905 9,4855 0,09303 0,09303 0,882901215 0,882436065 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-05 9,4065 9,4015 0,09217 0,09217 0,866997105 0,866536255 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-07 9,4255 9,4205 0,0923 0,0923 0,86997365 0,86951215 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-08 9,3965 9,3915 0,09159 0,09159 0,860625435 0,860167485 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-12 9,4315 9,4265 0,09108 0,09108 0,85902102 0,85856562 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-13 9,4295 9,4245 0,09129 0,09129 0,860819055 0,860362605 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-14 9,4365 9,4315 0,09082 0,09082 0,85702293 0,85656883 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-15 9,4345 9,4295 0,09074 0,09074 0,85608653 0,85563283 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-16 9,4765 9,4715 0,09068 0,09068 0,85932902 0,85887562 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-19 9,4535 9,4485 0,09001 0,09001 0,850909535 0,850459485 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-20 9,4015 9,3965 0,09013 0,09013 0,847357195 0,846906545 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-21 9,4485 9,4435 0,09103 0,09103 0,860096955 0,859641805 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-22 9,4365 9,4315 0,09172 0,09172 0,86551578 0,86505718 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-23 9,4425 9,4375 0,09165 0,09165 0,865405125 0,864946875 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-27 9,4915 9,4865 0,09069 0,09069 0,860784135 0,860330685 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-28 9,4345 9,4295 0,09045 0,09045 0,853350525 0,852898275 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-29 9,4115 9,4065 0,09077 0,09077 0,854281855 0,853828005 714485 Sampo Fondbolag Ab Sampo Nordamerika Aktie EUR 2005-12-30 9,4325 9,4275 0,09039 0,09039 0,852603675 0,852151725 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-03 1 1 6,6113 6,6113 6,6113 6,6113 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-04 1 1 6,6483 6,6483 6,6483 6,6483 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-05 1 1 6,602 6,602 6,602 6,602 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-07 1 1 6,623 6,623 6,623 6,623 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-10 1 1 6,6668 6,6668 6,6668 6,6668 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-11 1 1 6,6222 6,6222 6,6222 6,6222 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-12 1 1 6,5543 6,5543 6,5543 6,5543 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-13 1 1 6,563 6,563 6,563 6,563 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-14 1 1 6,5879 6,5879 6,5879 6,5879 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-17 1 1 6,6288 6,6288 6,6288 6,6288 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-18 1 1 6,6036 6,6036 6,6036 6,6036 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-19 1 1 6,6441 6,6441 6,6441 6,6441 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-20 1 1 6,5797 6,5797 6,5797 6,5797 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-21 1 1 6,5755 6,5755 6,5755 6,5755 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-24 1 1 6,5167 6,5167 6,5167 6,5167 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-25 1 1 6,5691 6,5691 6,5691 6,5691 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-26 1 1 6,597 6,597 6,597 6,597 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-27 1 1 6,6087 6,6087 6,6087 6,6087 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-28 1 1 6,6047 6,6047 6,6047 6,6047 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-01-31 1 1 6,6465 6,6465 6,6465 6,6465 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-01 1 1 6,6636 6,6636 6,6636 6,6636 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-02 1 1 6,7058 6,7058 6,7058 6,7058 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-03 1 1 6,7162 6,7162 6,7162 6,7162 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-04 1 1 6,7588 6,7588 6,7588 6,7588 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-07 1 1 6,8445 6,8445 6,8445 6,8445 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-08 1 1 6,8668 6,8668 6,8668 6,8668 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-09 1 1 6,866 6,866 6,866 6,866 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-10 1 1 6,8047 6,8047 6,8047 6,8047 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-11 1 1 6,8453 6,8453 6,8453 6,8453 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-14 1 1 6,8625 6,8625 6,8625 6,8625 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-15 1 1 6,8796 6,8796 6,8796 6,8796 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-16 1 1 6,8339 6,8339 6,8339 6,8339 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-17 1 1 6,8496 6,8496 6,8496 6,8496 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-18 1 1 6,8176 6,8176 6,8176 6,8176 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-21 1 1 6,8357 6,8357 6,8357 6,8357 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-22 1 1 6,7689 6,7689 6,7689 6,7689 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-23 1 1 6,7531 6,7531 6,7531 6,7531 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-24 1 1 6,7552 6,7552 6,7552 6,7552 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-25 1 1 6,8189 6,8189 6,8189 6,8189 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-02-28 1 1 6,8426 6,8426 6,8426 6,8426 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-01 1 1 6,8583 6,8583 6,8583 6,8583 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-02 1 1 6,8803 6,8803 6,8803 6,8803 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-03 1 1 6,9147 6,9147 6,9147 6,9147 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-04 1 1 6,9213 6,9213 6,9213 6,9213 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-07 1 1 6,9297 6,9297 6,9297 6,9297 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-08 1 1 6,882 6,882 6,882 6,882 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-09 1 1 6,8539 6,8539 6,8539 6,8539 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-10 1 1 6,8044 6,8044 6,8044 6,8044 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-11 1 1 6,8206 6,8206 6,8206 6,8206 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-14 1 1 6,8163 6,8163 6,8163 6,8163 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-15 1 1 6,8766 6,8766 6,8766 6,8766 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-16 1 1 6,7927 6,7927 6,7927 6,7927 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-17 1 1 6,7845 6,7845 6,7845 6,7845 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-18 1 1 6,8097 6,8097 6,8097 6,8097 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-21 1 1 6,8133 6,8133 6,8133 6,8133 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-22 1 1 6,8213 6,8213 6,8213 6,8213 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-23 1 1 6,7933 6,7933 6,7933 6,7933 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-24 1 1 6,8217 6,8217 6,8217 6,8217 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-29 1 1 6,846 6,846 6,846 6,846 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-30 1 1 6,7955 6,7955 6,7955 6,7955 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-03-31 1 1 6,8651 6,8651 6,8651 6,8651 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-01 1 1 6,8944 6,8944 6,8944 6,8944 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-04 1 1 6,882 6,882 6,882 6,882 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-05 1 1 6,9434 6,9434 6,9434 6,9434 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-06 1 1 6,9596 6,9596 6,9596 6,9596 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-07 1 1 6,9523 6,9523 6,9523 6,9523 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-08 1 1 7,0139 7,0139 7,0139 7,0139 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-11 1 1 6,9734 6,9734 6,9734 6,9734 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-12 1 1 6,958 6,958 6,958 6,958 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-13 1 1 7,0059 7,0059 7,0059 7,0059 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-14 1 1 7,0227 7,0227 7,0227 7,0227 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-15 1 1 6,9052 6,9052 6,9052 6,9052 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-18 1 1 6,7895 6,7895 6,7895 6,7895 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-19 1 1 6,8261 6,8261 6,8261 6,8261 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-20 1 1 6,8109 6,8109 6,8109 6,8109 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-21 1 1 6,8077 6,8077 6,8077 6,8077 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-22 1 1 6,8525 6,8525 6,8525 6,8525 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-25 1 1 6,8545 6,8545 6,8545 6,8545 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-26 1 1 6,8134 6,8134 6,8134 6,8134 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-27 1 1 6,7097 6,7097 6,7097 6,7097 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-28 1 1 6,6963 6,6963 6,6963 6,6963 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-04-29 1 1 6,7272 6,7272 6,7272 6,7272 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-02 1 1 6,7979 6,7979 6,7979 6,7979 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-03 1 1 6,8032 6,8032 6,8032 6,8032 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-04 1 1 6,7851 6,7851 6,7851 6,7851 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-06 1 1 6,8886 6,8886 6,8886 6,8886 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-09 1 1 6,8908 6,8908 6,8908 6,8908 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-10 1 1 6,8706 6,8706 6,8706 6,8706 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-11 1 1 6,8785 6,8785 6,8785 6,8785 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-12 1 1 6,9161 6,9161 6,9161 6,9161 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-13 1 1 6,902 6,902 6,902 6,902 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-16 1 1 6,9124 6,9124 6,9124 6,9124 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-17 1 1 6,9265 6,9265 6,9265 6,9265 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-18 1 1 6,9932 6,9932 6,9932 6,9932 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-19 1 1 7,0303 7,0303 7,0303 7,0303 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-20 1 1 7,0393 7,0393 7,0393 7,0393 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-23 1 1 7,0534 7,0534 7,0534 7,0534 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-24 1 1 7,0577 7,0577 7,0577 7,0577 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-25 1 1 7,0503 7,0503 7,0503 7,0503 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-26 1 1 7,1 7,1 7,1 7,1 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-27 1 1 7,117 7,117 7,117 7,117 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-30 1 1 7,1528 7,1528 7,1528 7,1528 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-05-31 1 1 7,1613 7,1613 7,1613 7,1613 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-01 1 1 7,1848 7,1848 7,1848 7,1848 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-02 1 1 7,1922 7,1922 7,1922 7,1922 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-03 1 1 7,1762 7,1762 7,1762 7,1762 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-07 1 1 7,2106 7,2106 7,2106 7,2106 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-08 1 1 7,2364 7,2364 7,2364 7,2364 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-09 1 1 7,2305 7,2305 7,2305 7,2305 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-10 1 1 7,3025 7,3025 7,3025 7,3025 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-13 1 1 7,3351 7,3351 7,3351 7,3351 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-14 1 1 7,3905 7,3905 7,3905 7,3905 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-15 1 1 7,3758 7,3758 7,3758 7,3758 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-16 1 1 7,395 7,395 7,395 7,395 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-17 1 1 7,4077 7,4077 7,4077 7,4077 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-20 1 1 7,3894 7,3894 7,3894 7,3894 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-21 1 1 7,4222 7,4222 7,4222 7,4222 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-22 1 1 7,4734 7,4734 7,4734 7,4734 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-23 1 1 7,5392 7,5392 7,5392 7,5392 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-27 1 1 7,3899 7,3899 7,3899 7,3899 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-28 1 1 7,4555 7,4555 7,4555 7,4555 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-29 1 1 7,5266 7,5266 7,5266 7,5266 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-06-30 1 1 7,5517 7,5517 7,5517 7,5517 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-01 1 1 7,5622 7,5622 7,5622 7,5622 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-04 1 1 7,6252 7,6252 7,6252 7,6252 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-05 1 1 7,5967 7,5967 7,5967 7,5967 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-06 1 1 7,6128 7,6128 7,6128 7,6128 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-07 1 1 7,4995 7,4995 7,4995 7,4995 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-08 1 1 7,5929 7,5929 7,5929 7,5929 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-11 1 1 7,6937 7,6937 7,6937 7,6937 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-12 1 1 7,6538 7,6538 7,6538 7,6538 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-13 1 1 7,6662 7,6662 7,6662 7,6662 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-14 1 1 7,7023 7,7023 7,7023 7,7023 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-15 1 1 7,6828 7,6828 7,6828 7,6828 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-18 1 1 7,6756 7,6756 7,6756 7,6756 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-19 1 1 7,7084 7,7084 7,7084 7,7084 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-20 1 1 7,6827 7,6827 7,6827 7,6827 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-21 1 1 7,7073 7,7073 7,7073 7,7073 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-22 1 1 7,7042 7,7042 7,7042 7,7042 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-25 1 1 7,7038 7,7038 7,7038 7,7038 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-26 1 1 7,7606 7,7606 7,7606 7,7606 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-27 1 1 7,774 7,774 7,774 7,774 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-28 1 1 7,7968 7,7968 7,7968 7,7968 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-07-29 1 1 7,8077 7,8077 7,8077 7,8077 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-01 1 1 7,7731 7,7731 7,7731 7,7731 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-02 1 1 7,8035 7,8035 7,8035 7,8035 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-03 1 1 7,792 7,792 7,792 7,792 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-04 1 1 7,7434 7,7434 7,7434 7,7434 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-05 1 1 7,7041 7,7041 7,7041 7,7041 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-08 1 1 7,7011 7,7011 7,7011 7,7011 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-09 1 1 7,7181 7,7181 7,7181 7,7181 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-10 1 1 7,7983 7,7983 7,7983 7,7983 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-11 1 1 7,7634 7,7634 7,7634 7,7634 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-12 1 1 7,7531 7,7531 7,7531 7,7531 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-15 1 1 7,7537 7,7537 7,7537 7,7537 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-16 1 1 7,7764 7,7764 7,7764 7,7764 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-17 1 1 7,7316 7,7316 7,7316 7,7316 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-18 1 1 7,7491 7,7491 7,7491 7,7491 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-19 1 1 7,8122 7,8122 7,8122 7,8122 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-22 1 1 7,8297 7,8297 7,8297 7,8297 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-23 1 1 7,7866 7,7866 7,7866 7,7866 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-24 1 1 7,694 7,694 7,694 7,694 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-25 1 1 7,6518 7,6518 7,6518 7,6518 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-26 1 1 7,5995 7,5995 7,5995 7,5995 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-29 1 1 7,6002 7,6002 7,6002 7,6002 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-30 1 1 7,6663 7,6663 7,6663 7,6663 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-08-31 1 1 7,6702 7,6702 7,6702 7,6702 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-01 1 1 7,7238 7,7238 7,7238 7,7238 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-02 1 1 7,6664 7,6664 7,6664 7,6664 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-05 1 1 7,6892 7,6892 7,6892 7,6892 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-06 1 1 7,7479 7,7479 7,7479 7,7479 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-07 1 1 7,7878 7,7878 7,7878 7,7878 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-08 1 1 7,7788 7,7788 7,7788 7,7788 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-09 1 1 7,8207 7,8207 7,8207 7,8207 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-12 1 1 7,865 7,865 7,865 7,865 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-13 1 1 7,8579 7,8579 7,8579 7,8579 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-14 1 1 7,8803 7,8803 7,8803 7,8803 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-15 1 1 7,8879 7,8879 7,8879 7,8879 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-16 1 1 7,9133 7,9133 7,9133 7,9133 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-19 1 1 7,9344 7,9344 7,9344 7,9344 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-20 1 1 7,9342 7,9342 7,9342 7,9342 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-21 1 1 7,8574 7,8574 7,8574 7,8574 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-22 1 1 7,8521 7,8521 7,8521 7,8521 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-23 1 1 7,886 7,886 7,886 7,886 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-26 1 1 7,9836 7,9836 7,9836 7,9836 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-27 1 1 8,0084 8,0084 8,0084 8,0084 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-28 1 1 8,0536 8,0536 8,0536 8,0536 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-29 1 1 8,0412 8,0412 8,0412 8,0412 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-09-30 1 1 8,0817 8,0817 8,0817 8,0817 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-03 1 1 8,1458 8,1458 8,1458 8,1458 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-04 1 1 8,1308 8,1308 8,1308 8,1308 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-05 1 1 8,0618 8,0618 8,0618 8,0618 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-06 1 1 7,9116 7,9116 7,9116 7,9116 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-07 1 1 7,9292 7,9292 7,9292 7,9292 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-10 1 1 7,9492 7,9492 7,9492 7,9492 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-11 1 1 7,9667 7,9667 7,9667 7,9667 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-12 1 1 7,9273 7,9273 7,9273 7,9273 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-13 1 1 7,8478 7,8478 7,8478 7,8478 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-14 1 1 7,8652 7,8652 7,8652 7,8652 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-17 1 1 7,8856 7,8856 7,8856 7,8856 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-18 1 1 7,8688 7,8688 7,8688 7,8688 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-19 1 1 7,7658 7,7658 7,7658 7,7658 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-20 1 1 7,8369 7,8369 7,8369 7,8369 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-21 1 1 7,7643 7,7643 7,7643 7,7643 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-24 1 1 7,8681 7,8681 7,8681 7,8681 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-25 1 1 7,8839 7,8839 7,8839 7,8839 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-26 1 1 7,9121 7,9121 7,9121 7,9121 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-27 1 1 7,8537 7,8537 7,8537 7,8537 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-28 1 1 7,8145 7,8145 7,8145 7,8145 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-10-31 1 1 8,0029 8,0029 8,0029 8,0029 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-01 1 1 8,0455 8,0455 8,0455 8,0455 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-02 1 1 8,0553 8,0553 8,0553 8,0553 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-03 1 1 8,1823 8,1823 8,1823 8,1823 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-04 1 1 8,188 8,188 8,188 8,188 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-07 1 1 8,2533 8,2533 8,2533 8,2533 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-08 1 1 8,2249 8,2249 8,2249 8,2249 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-09 1 1 8,2437 8,2437 8,2437 8,2437 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-10 1 1 8,2773 8,2773 8,2773 8,2773 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-11 1 1 8,3363 8,3363 8,3363 8,3363 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-14 1 1 8,3553 8,3553 8,3553 8,3553 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-15 1 1 8,3495 8,3495 8,3495 8,3495 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-16 1 1 8,3472 8,3472 8,3472 8,3472 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-17 1 1 8,3972 8,3972 8,3972 8,3972 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-18 1 1 8,4257 8,4257 8,4257 8,4257 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-21 1 1 8,3894 8,3894 8,3894 8,3894 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-22 1 1 8,4255 8,4255 8,4255 8,4255 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-23 1 1 8,4206 8,4206 8,4206 8,4206 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-24 1 1 8,4123 8,4123 8,4123 8,4123 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-25 1 1 8,4301 8,4301 8,4301 8,4301 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-28 1 1 8,4419 8,4419 8,4419 8,4419 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-29 1 1 8,4401 8,4401 8,4401 8,4401 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-11-30 1 1 8,3995 8,3995 8,3995 8,3995 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-01 1 1 8,4712 8,4712 8,4712 8,4712 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-02 1 1 8,4349 8,4349 8,4349 8,4349 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-05 1 1 8,4175 8,4175 8,4175 8,4175 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-06 1 1 8,415 8,415 8,415 8,415 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-07 1 1 8,4496 8,4496 8,4496 8,4496 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-08 1 1 8,43 8,43 8,43 8,43 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-12 1 1 8,4395 8,4395 8,4395 8,4395 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-13 1 1 8,437 8,437 8,437 8,437 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-14 1 1 8,4227 8,4227 8,4227 8,4227 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-15 1 1 8,4019 8,4019 8,4019 8,4019 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-16 1 1 8,4452 8,4452 8,4452 8,4452 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-19 1 1 8,4382 8,4382 8,4382 8,4382 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-20 1 1 8,4392 8,4392 8,4392 8,4392 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-21 1 1 8,5173 8,5173 8,5173 8,5173 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-22 1 1 8,541 8,541 8,541 8,541 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-23 1 1 8,5927 8,5927 8,5927 8,5927 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-27 1 1 8,6286 8,6286 8,6286 8,6286 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-28 1 1 8,5616 8,5616 8,5616 8,5616 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-29 1 1 8,596 8,596 8,596 8,596 301580 SEB Investment Management SEB Aktiesparfond SEK 2005-12-30 1 1 8,5475 8,5475 8,5475 8,5475 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-03 1 1 7,1689 7,1689 7,1689 7,1689 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-04 1 1 7,2089 7,2089 7,2089 7,2089 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-05 1 1 7,2368 7,2368 7,2368 7,2368 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-07 1 1 7,2071 7,2071 7,2071 7,2071 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-10 1 1 7,2406 7,2406 7,2406 7,2406 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-11 1 1 7,2266 7,2266 7,2266 7,2266 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-12 1 1 7,1793 7,1793 7,1793 7,1793 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-13 1 1 7,2348 7,2348 7,2348 7,2348 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-14 1 1 7,3121 7,3121 7,3121 7,3121 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-17 1 1 7,4609 7,4609 7,4609 7,4609 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-18 1 1 7,4746 7,4746 7,4746 7,4746 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-19 1 1 7,4676 7,4676 7,4676 7,4676 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-20 1 1 7,4514 7,4514 7,4514 7,4514 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-21 1 1 7,4241 7,4241 7,4241 7,4241 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-24 1 1 7,3793 7,3793 7,3793 7,3793 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-25 1 1 7,4058 7,4058 7,4058 7,4058 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-26 1 1 7,4664 7,4664 7,4664 7,4664 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-27 1 1 7,4684 7,4684 7,4684 7,4684 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-28 1 1 7,495 7,495 7,495 7,495 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-01-31 1 1 7,5726 7,5726 7,5726 7,5726 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-01 1 1 7,531 7,531 7,531 7,531 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-02 1 1 7,5418 7,5418 7,5418 7,5418 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-03 1 1 7,6279 7,6279 7,6279 7,6279 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-04 1 1 7,6441 7,6441 7,6441 7,6441 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-07 1 1 7,793 7,793 7,793 7,793 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-08 1 1 7,8572 7,8572 7,8572 7,8572 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-09 1 1 7,7984 7,7984 7,7984 7,7984 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-10 1 1 7,7378 7,7378 7,7378 7,7378 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-11 1 1 7,7699 7,7699 7,7699 7,7699 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-14 1 1 7,8011 7,8011 7,8011 7,8011 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-15 1 1 7,8241 7,8241 7,8241 7,8241 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-16 1 1 7,7915 7,7915 7,7915 7,7915 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-17 1 1 7,7663 7,7663 7,7663 7,7663 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-18 1 1 7,8247 7,8247 7,8247 7,8247 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-21 1 1 7,84 7,84 7,84 7,84 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-22 1 1 7,7507 7,7507 7,7507 7,7507 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-23 1 1 7,6921 7,6921 7,6921 7,6921 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-24 1 1 7,729 7,729 7,729 7,729 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-25 1 1 7,7871 7,7871 7,7871 7,7871 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-02-28 1 1 7,7898 7,7898 7,7898 7,7898 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-01 1 1 7,8192 7,8192 7,8192 7,8192 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-02 1 1 7,8283 7,8283 7,8283 7,8283 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-03 1 1 7,8114 7,8114 7,8114 7,8114 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-04 1 1 7,6813 7,6813 7,6813 7,6813 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-07 1 1 7,7136 7,7136 7,7136 7,7136 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-08 1 1 7,6458 7,6458 7,6458 7,6458 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-09 1 1 7,6899 7,6899 7,6899 7,6899 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-10 1 1 7,6333 7,6333 7,6333 7,6333 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-11 1 1 7,6554 7,6554 7,6554 7,6554 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-14 1 1 7,6636 7,6636 7,6636 7,6636 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-15 1 1 7,5796 7,5796 7,5796 7,5796 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-16 1 1 7,5618 7,5618 7,5618 7,5618 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-17 1 1 7,5587 7,5587 7,5587 7,5587 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-18 1 1 7,5942 7,5942 7,5942 7,5942 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-21 1 1 7,647 7,647 7,647 7,647 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-22 1 1 7,5972 7,5972 7,5972 7,5972 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-23 1 1 7,6197 7,6197 7,6197 7,6197 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-24 1 1 7,589 7,589 7,589 7,589 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-29 1 1 7,5816 7,5816 7,5816 7,5816 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-30 1 1 7,5127 7,5127 7,5127 7,5127 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-03-31 1 1 7,6155 7,6155 7,6155 7,6155 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-01 1 1 7,6968 7,6968 7,6968 7,6968 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-04 1 1 7,7502 7,7502 7,7502 7,7502 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-05 1 1 7,7497 7,7497 7,7497 7,7497 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-06 1 1 7,7484 7,7484 7,7484 7,7484 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-07 1 1 7,7445 7,7445 7,7445 7,7445 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-08 1 1 7,8375 7,8375 7,8375 7,8375 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-11 1 1 7,7492 7,7492 7,7492 7,7492 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-12 1 1 7,7993 7,7993 7,7993 7,7993 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-13 1 1 7,8372 7,8372 7,8372 7,8372 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-14 1 1 7,8136 7,8136 7,8136 7,8136 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-15 1 1 7,6881 7,6881 7,6881 7,6881 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-18 1 1 7,4384 7,4384 7,4384 7,4384 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-19 1 1 7,503 7,503 7,503 7,503 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-20 1 1 7,5078 7,5078 7,5078 7,5078 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-21 1 1 7,5212 7,5212 7,5212 7,5212 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-22 1 1 7,5435 7,5435 7,5435 7,5435 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-25 1 1 7,5783 7,5783 7,5783 7,5783 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-26 1 1 7,5983 7,5983 7,5983 7,5983 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-27 1 1 7,5564 7,5564 7,5564 7,5564 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-28 1 1 7,5717 7,5717 7,5717 7,5717 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-04-29 1 1 7,5799 7,5799 7,5799 7,5799 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-02 1 1 7,622 7,622 7,622 7,622 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-03 1 1 7,639 7,639 7,639 7,639 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-04 1 1 7,6435 7,6435 7,6435 7,6435 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-06 1 1 7,8323 7,8323 7,8323 7,8323 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-09 1 1 7,8577 7,8577 7,8577 7,8577 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-10 1 1 7,8283 7,8283 7,8283 7,8283 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-11 1 1 7,8429 7,8429 7,8429 7,8429 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-12 1 1 7,8735 7,8735 7,8735 7,8735 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-13 1 1 7,9355 7,9355 7,9355 7,9355 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-16 1 1 7,9132 7,9132 7,9132 7,9132 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-17 1 1 7,8715 7,8715 7,8715 7,8715 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-18 1 1 7,9043 7,9043 7,9043 7,9043 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-19 1 1 7,9721 7,9721 7,9721 7,9721 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-20 1 1 7,9787 7,9787 7,9787 7,9787 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-23 1 1 7,9375 7,9375 7,9375 7,9375 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-24 1 1 7,9552 7,9552 7,9552 7,9552 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-25 1 1 7,8631 7,8631 7,8631 7,8631 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-26 1 1 7,9459 7,9459 7,9459 7,9459 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-27 1 1 8,0609 8,0609 8,0609 8,0609 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-30 1 1 8,1475 8,1475 8,1475 8,1475 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-05-31 1 1 8,1983 8,1983 8,1983 8,1983 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-01 1 1 8,1843 8,1843 8,1843 8,1843 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-02 1 1 8,2292 8,2292 8,2292 8,2292 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-03 1 1 8,2459 8,2459 8,2459 8,2459 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-07 1 1 8,2884 8,2884 8,2884 8,2884 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-08 1 1 8,3315 8,3315 8,3315 8,3315 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-09 1 1 8,3935 8,3935 8,3935 8,3935 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-10 1 1 8,5252 8,5252 8,5252 8,5252 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-13 1 1 8,6453 8,6453 8,6453 8,6453 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-14 1 1 8,6392 8,6392 8,6392 8,6392 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-15 1 1 8,6436 8,6436 8,6436 8,6436 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-16 1 1 8,6509 8,6509 8,6509 8,6509 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-17 1 1 8,5728 8,5728 8,5728 8,5728 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-20 1 1 8,582 8,582 8,582 8,582 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-21 1 1 8,5921 8,5921 8,5921 8,5921 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-22 1 1 8,7349 8,7349 8,7349 8,7349 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-23 1 1 8,9227 8,9227 8,9227 8,9227 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-27 1 1 8,7219 8,7219 8,7219 8,7219 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-28 1 1 8,7819 8,7819 8,7819 8,7819 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-29 1 1 8,828 8,828 8,828 8,828 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-06-30 1 1 8,8088 8,8088 8,8088 8,8088 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-01 1 1 8,8902 8,8902 8,8902 8,8902 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-04 1 1 8,9781 8,9781 8,9781 8,9781 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-05 1 1 8,8792 8,8792 8,8792 8,8792 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-06 1 1 8,88 8,88 8,88 8,88 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-07 1 1 8,8772 8,8772 8,8772 8,8772 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-08 1 1 8,8407 8,8407 8,8407 8,8407 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-11 1 1 9,0504 9,0504 9,0504 9,0504 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-12 1 1 8,9745 8,9745 8,9745 8,9745 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-13 1 1 9,0108 9,0108 9,0108 9,0108 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-14 1 1 9,1697 9,1697 9,1697 9,1697 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-15 1 1 9,1366 9,1366 9,1366 9,1366 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-18 1 1 9,1564 9,1564 9,1564 9,1564 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-19 1 1 9,3239 9,3239 9,3239 9,3239 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-20 1 1 9,3181 9,3181 9,3181 9,3181 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-21 1 1 9,3026 9,3026 9,3026 9,3026 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-22 1 1 9,3744 9,3744 9,3744 9,3744 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-25 1 1 9,4114 9,4114 9,4114 9,4114 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-26 1 1 9,4689 9,4689 9,4689 9,4689 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-27 1 1 9,4332 9,4332 9,4332 9,4332 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-28 1 1 9,4113 9,4113 9,4113 9,4113 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-07-29 1 1 9,4656 9,4656 9,4656 9,4656 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-01 1 1 9,395 9,395 9,395 9,395 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-02 1 1 9,4807 9,4807 9,4807 9,4807 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-03 1 1 9,4889 9,4889 9,4889 9,4889 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-04 1 1 9,4103 9,4103 9,4103 9,4103 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-05 1 1 9,3089 9,3089 9,3089 9,3089 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-08 1 1 9,2378 9,2378 9,2378 9,2378 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-09 1 1 9,2936 9,2936 9,2936 9,2936 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-10 1 1 9,307 9,307 9,307 9,307 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-11 1 1 9,2722 9,2722 9,2722 9,2722 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-12 1 1 9,2834 9,2834 9,2834 9,2834 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-15 1 1 9,2407 9,2407 9,2407 9,2407 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-16 1 1 9,2402 9,2402 9,2402 9,2402 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-17 1 1 9,2381 9,2381 9,2381 9,2381 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-18 1 1 9,2048 9,2048 9,2048 9,2048 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-19 1 1 9,1973 9,1973 9,1973 9,1973 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-22 1 1 9,2787 9,2787 9,2787 9,2787 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-23 1 1 9,2423 9,2423 9,2423 9,2423 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-24 1 1 9,0835 9,0835 9,0835 9,0835 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-25 1 1 9,0856 9,0856 9,0856 9,0856 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-26 1 1 9,0144 9,0144 9,0144 9,0144 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-29 1 1 8,8642 8,8642 8,8642 8,8642 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-30 1 1 8,9975 8,9975 8,9975 8,9975 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-08-31 1 1 8,9652 8,9652 8,9652 8,9652 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-01 1 1 9,0008 9,0008 9,0008 9,0008 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-02 1 1 8,9277 8,9277 8,9277 8,9277 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-05 1 1 8,9164 8,9164 8,9164 8,9164 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-06 1 1 8,9951 8,9951 8,9951 8,9951 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-07 1 1 9,0978 9,0978 9,0978 9,0978 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-08 1 1 9,1305 9,1305 9,1305 9,1305 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-09 1 1 9,1848 9,1848 9,1848 9,1848 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-12 1 1 9,3064 9,3064 9,3064 9,3064 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-13 1 1 9,3487 9,3487 9,3487 9,3487 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-14 1 1 9,3619 9,3619 9,3619 9,3619 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-15 1 1 9,4224 9,4224 9,4224 9,4224 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-16 1 1 9,3695 9,3695 9,3695 9,3695 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-19 1 1 9,4217 9,4217 9,4217 9,4217 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-20 1 1 9,4804 9,4804 9,4804 9,4804 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-21 1 1 9,4359 9,4359 9,4359 9,4359 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-22 1 1 9,4256 9,4256 9,4256 9,4256 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-23 1 1 9,391 9,391 9,391 9,391 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-26 1 1 9,5144 9,5144 9,5144 9,5144 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-27 1 1 9,5586 9,5586 9,5586 9,5586 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-28 1 1 9,5566 9,5566 9,5566 9,5566 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-29 1 1 9,5723 9,5723 9,5723 9,5723 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-09-30 1 1 9,5726 9,5726 9,5726 9,5726 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-03 1 1 9,6436 9,6436 9,6436 9,6436 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-04 1 1 9,7389 9,7389 9,7389 9,7389 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-05 1 1 9,6684 9,6684 9,6684 9,6684 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-06 1 1 9,3492 9,3492 9,3492 9,3492 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-07 1 1 9,3864 9,3864 9,3864 9,3864 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-10 1 1 9,5071 9,5071 9,5071 9,5071 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-11 1 1 9,566 9,566 9,566 9,566 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-12 1 1 9,3981 9,3981 9,3981 9,3981 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-13 1 1 9,3752 9,3752 9,3752 9,3752 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-14 1 1 9,3551 9,3551 9,3551 9,3551 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-17 1 1 9,2935 9,2935 9,2935 9,2935 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-18 1 1 9,3662 9,3662 9,3662 9,3662 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-19 1 1 9,1229 9,1229 9,1229 9,1229 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-20 1 1 9,1843 9,1843 9,1843 9,1843 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-21 1 1 9,1886 9,1886 9,1886 9,1886 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-24 1 1 9,2476 9,2476 9,2476 9,2476 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-25 1 1 9,1321 9,1321 9,1321 9,1321 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-26 1 1 9,1891 9,1891 9,1891 9,1891 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-27 1 1 9,0947 9,0947 9,0947 9,0947 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-28 1 1 9,0278 9,0278 9,0278 9,0278 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-10-31 1 1 9,2693 9,2693 9,2693 9,2693 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-01 1 1 9,5065 9,5065 9,5065 9,5065 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-02 1 1 9,6103 9,6103 9,6103 9,6103 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-03 1 1 9,6688 9,6688 9,6688 9,6688 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-04 1 1 9,7236 9,7236 9,7236 9,7236 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-07 1 1 9,7897 9,7897 9,7897 9,7897 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-08 1 1 9,7423 9,7423 9,7423 9,7423 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-09 1 1 9,8632 9,8632 9,8632 9,8632 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-10 1 1 9,9126 9,9126 9,9126 9,9126 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-11 1 1 10,0093 10,0093 10,0093 10,0093 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-14 1 1 9,9872 9,9872 9,9872 9,9872 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-15 1 1 10,0293 10,0293 10,0293 10,0293 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-16 1 1 10,0649 10,0649 10,0649 10,0649 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-17 1 1 10,0248 10,0248 10,0248 10,0248 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-18 1 1 10,075 10,075 10,075 10,075 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-21 1 1 9,9865 9,9865 9,9865 9,9865 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-22 1 1 9,9504 9,9504 9,9504 9,9504 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-23 1 1 10,0421 10,0421 10,0421 10,0421 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-24 1 1 10,0878 10,0878 10,0878 10,0878 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-25 1 1 10,0314 10,0314 10,0314 10,0314 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-28 1 1 10,0786 10,0786 10,0786 10,0786 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-29 1 1 10,021 10,021 10,021 10,021 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-11-30 1 1 10,1573 10,1573 10,1573 10,1573 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-01 1 1 10,154 10,154 10,154 10,154 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-02 1 1 9,965 9,965 9,965 9,965 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-05 1 1 9,9726 9,9726 9,9726 9,9726 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-06 1 1 9,9519 9,9519 9,9519 9,9519 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-07 1 1 10,1051 10,1051 10,1051 10,1051 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-08 1 1 10,0308 10,0308 10,0308 10,0308 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-12 1 1 9,9225 9,9225 9,9225 9,9225 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-13 1 1 9,9729 9,9729 9,9729 9,9729 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-14 1 1 9,9276 9,9276 9,9276 9,9276 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-15 1 1 9,9639 9,9639 9,9639 9,9639 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-16 1 1 9,9798 9,9798 9,9798 9,9798 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-19 1 1 10,0256 10,0256 10,0256 10,0256 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-20 1 1 10,0617 10,0617 10,0617 10,0617 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-21 1 1 10,2471 10,2471 10,2471 10,2471 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-22 1 1 10,2163 10,2163 10,2163 10,2163 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-23 1 1 10,3317 10,3317 10,3317 10,3317 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-27 1 1 10,44 10,44 10,44 10,44 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-28 1 1 10,2849 10,2849 10,2849 10,2849 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-29 1 1 10,4227 10,4227 10,4227 10,4227 914945 SEB Investment Management SEB Asienfond ex Japan SEK 2005-12-30 1 1 10,4169 10,4169 10,4169 10,4169 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-03 1 1 9,3508 9,3508 9,3508 9,3508 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-04 1 1 9,3434 9,3434 9,3434 9,3434 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-05 1 1 9,287 9,287 9,287 9,287 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-07 1 1 9,2228 9,2228 9,2228 9,2228 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-10 1 1 9,2873 9,2873 9,2873 9,2873 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-11 1 1 9,2698 9,2698 9,2698 9,2698 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-12 1 1 9,2106 9,2106 9,2106 9,2106 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-13 1 1 9,2964 9,2964 9,2964 9,2964 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-14 1 1 9,4344 9,4344 9,4344 9,4344 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-17 1 1 9,5894 9,5894 9,5894 9,5894 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-18 1 1 9,5341 9,5341 9,5341 9,5341 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-19 1 1 9,5524 9,5524 9,5524 9,5524 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-20 1 1 9,5066 9,5066 9,5066 9,5066 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-21 1 1 9,5249 9,5249 9,5249 9,5249 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-24 1 1 9,5511 9,5511 9,5511 9,5511 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-25 1 1 9,5958 9,5958 9,5958 9,5958 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-26 1 1 9,664 9,664 9,664 9,664 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-27 1 1 9,6902 9,6902 9,6902 9,6902 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-28 1 1 9,7006 9,7006 9,7006 9,7006 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-01-31 1 1 9,8483 9,8483 9,8483 9,8483 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-01 1 1 9,8327 9,8327 9,8327 9,8327 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-02 1 1 9,8215 9,8215 9,8215 9,8215 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-03 1 1 9,9156 9,9156 9,9156 9,9156 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-04 1 1 9,9859 9,9859 9,9859 9,9859 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-07 1 1 10,1369 10,1369 10,1369 10,1369 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-08 1 1 10,1993 10,1993 10,1993 10,1993 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-09 1 1 10,1564 10,1564 10,1564 10,1564 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-10 1 1 10,0941 10,0941 10,0941 10,0941 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-11 1 1 10,1523 10,1523 10,1523 10,1523 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-14 1 1 10,1774 10,1774 10,1774 10,1774 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-15 1 1 10,19 10,19 10,19 10,19 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-16 1 1 10,1855 10,1855 10,1855 10,1855 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-17 1 1 10,1763 10,1763 10,1763 10,1763 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-18 1 1 10,2373 10,2373 10,2373 10,2373 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-21 1 1 10,2585 10,2585 10,2585 10,2585 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-22 1 1 10,1982 10,1982 10,1982 10,1982 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-23 1 1 10,1727 10,1727 10,1727 10,1727 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-24 1 1 10,2352 10,2352 10,2352 10,2352 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-25 1 1 10,3543 10,3543 10,3543 10,3543 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-02-28 1 1 10,4102 10,4102 10,4102 10,4102 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-01 1 1 10,4218 10,4218 10,4218 10,4218 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-02 1 1 10,3824 10,3824 10,3824 10,3824 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-03 1 1 10,3861 10,3861 10,3861 10,3861 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-04 1 1 10,3093 10,3093 10,3093 10,3093 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-07 1 1 10,3886 10,3886 10,3886 10,3886 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-08 1 1 10,2857 10,2857 10,2857 10,2857 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-09 1 1 10,2777 10,2777 10,2777 10,2777 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-10 1 1 10,1583 10,1583 10,1583 10,1583 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-11 1 1 10,19 10,19 10,19 10,19 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-14 1 1 10,1151 10,1151 10,1151 10,1151 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-15 1 1 10,0076 10,0076 10,0076 10,0076 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-16 1 1 9,851 9,851 9,851 9,851 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-17 1 1 9,8873 9,8873 9,8873 9,8873 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-18 1 1 9,9755 9,9755 9,9755 9,9755 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-21 1 1 9,994 9,994 9,994 9,994 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-22 1 1 9,9606 9,9606 9,9606 9,9606 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-23 1 1 9,909 9,909 9,909 9,909 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-24 1 1 9,8782 9,8782 9,8782 9,8782 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-29 1 1 9,8773 9,8773 9,8773 9,8773 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-30 1 1 9,7524 9,7524 9,7524 9,7524 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-03-31 1 1 9,9243 9,9243 9,9243 9,9243 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-01 1 1 10,075 10,075 10,075 10,075 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-04 1 1 10,1673 10,1673 10,1673 10,1673 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-05 1 1 10,1951 10,1951 10,1951 10,1951 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-06 1 1 10,1971 10,1971 10,1971 10,1971 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-07 1 1 10,1431 10,1431 10,1431 10,1431 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-08 1 1 10,2818 10,2818 10,2818 10,2818 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-11 1 1 10,1488 10,1488 10,1488 10,1488 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-12 1 1 10,2111 10,2111 10,2111 10,2111 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-13 1 1 10,2559 10,2559 10,2559 10,2559 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-14 1 1 10,1765 10,1765 10,1765 10,1765 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-15 1 1 9,9707 9,9707 9,9707 9,9707 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-18 1 1 9,6978 9,6978 9,6978 9,6978 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-19 1 1 9,7862 9,7862 9,7862 9,7862 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-20 1 1 9,7989 9,7989 9,7989 9,7989 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-21 1 1 9,7629 9,7629 9,7629 9,7629 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-22 1 1 9,8203 9,8203 9,8203 9,8203 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-25 1 1 9,8875 9,8875 9,8875 9,8875 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-26 1 1 9,9298 9,9298 9,9298 9,9298 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-27 1 1 9,8614 9,8614 9,8614 9,8614 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-28 1 1 9,8545 9,8545 9,8545 9,8545 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-04-29 1 1 9,841 9,841 9,841 9,841 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-02 1 1 9,924 9,924 9,924 9,924 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-03 1 1 9,9164 9,9164 9,9164 9,9164 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-04 1 1 9,9232 9,9232 9,9232 9,9232 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-06 1 1 10,2165 10,2165 10,2165 10,2165 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-09 1 1 10,2476 10,2476 10,2476 10,2476 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-10 1 1 10,2178 10,2178 10,2178 10,2178 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-11 1 1 10,1716 10,1716 10,1716 10,1716 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-12 1 1 10,2151 10,2151 10,2151 10,2151 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-13 1 1 10,2355 10,2355 10,2355 10,2355 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-16 1 1 10,1903 10,1903 10,1903 10,1903 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-17 1 1 10,1894 10,1894 10,1894 10,1894 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-18 1 1 10,268 10,268 10,268 10,268 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-19 1 1 10,383 10,383 10,383 10,383 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-20 1 1 10,3985 10,3985 10,3985 10,3985 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-23 1 1 10,3312 10,3312 10,3312 10,3312 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-24 1 1 10,3487 10,3487 10,3487 10,3487 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-25 1 1 10,3151 10,3151 10,3151 10,3151 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-26 1 1 10,4175 10,4175 10,4175 10,4175 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-27 1 1 10,5499 10,5499 10,5499 10,5499 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-30 1 1 10,6671 10,6671 10,6671 10,6671 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-05-31 1 1 10,6976 10,6976 10,6976 10,6976 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-01 1 1 10,6612 10,6612 10,6612 10,6612 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-02 1 1 10,7826 10,7826 10,7826 10,7826 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-03 1 1 10,8474 10,8474 10,8474 10,8474 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-07 1 1 10,8177 10,8177 10,8177 10,8177 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-08 1 1 10,8331 10,8331 10,8331 10,8331 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-09 1 1 10,8361 10,8361 10,8361 10,8361 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-10 1 1 11,0416 11,0416 11,0416 11,0416 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-13 1 1 11,2034 11,2034 11,2034 11,2034 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-14 1 1 11,2047 11,2047 11,2047 11,2047 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-15 1 1 11,2017 11,2017 11,2017 11,2017 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-16 1 1 11,2685 11,2685 11,2685 11,2685 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-17 1 1 11,2299 11,2299 11,2299 11,2299 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-20 1 1 11,2272 11,2272 11,2272 11,2272 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-21 1 1 11,2359 11,2359 11,2359 11,2359 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-22 1 1 11,3856 11,3856 11,3856 11,3856 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-23 1 1 11,5732 11,5732 11,5732 11,5732 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-27 1 1 11,3389 11,3389 11,3389 11,3389 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-28 1 1 11,4924 11,4924 11,4924 11,4924 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-29 1 1 11,5597 11,5597 11,5597 11,5597 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-06-30 1 1 11,5453 11,5453 11,5453 11,5453 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-01 1 1 11,6577 11,6577 11,6577 11,6577 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-04 1 1 11,7724 11,7724 11,7724 11,7724 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-05 1 1 11,638 11,638 11,638 11,638 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-06 1 1 11,6177 11,6177 11,6177 11,6177 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-07 1 1 11,6143 11,6143 11,6143 11,6143 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-08 1 1 11,6475 11,6475 11,6475 11,6475 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-11 1 1 11,8663 11,8663 11,8663 11,8663 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-12 1 1 11,7526 11,7526 11,7526 11,7526 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-13 1 1 11,7978 11,7978 11,7978 11,7978 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-14 1 1 11,9397 11,9397 11,9397 11,9397 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-15 1 1 11,871 11,871 11,871 11,871 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-18 1 1 11,8601 11,8601 11,8601 11,8601 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-19 1 1 12,003 12,003 12,003 12,003 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-20 1 1 12,0117 12,0117 12,0117 12,0117 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-21 1 1 12,0038 12,0038 12,0038 12,0038 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-22 1 1 12,0689 12,0689 12,0689 12,0689 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-25 1 1 12,0941 12,0941 12,0941 12,0941 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-26 1 1 12,1034 12,1034 12,1034 12,1034 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-27 1 1 12,1023 12,1023 12,1023 12,1023 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-28 1 1 12,1474 12,1474 12,1474 12,1474 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-07-29 1 1 12,2202 12,2202 12,2202 12,2202 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-01 1 1 12,145 12,145 12,145 12,145 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-02 1 1 12,2937 12,2937 12,2937 12,2937 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-03 1 1 12,3074 12,3074 12,3074 12,3074 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-04 1 1 12,1649 12,1649 12,1649 12,1649 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-05 1 1 12,1226 12,1226 12,1226 12,1226 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-08 1 1 12,0827 12,0827 12,0827 12,0827 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-09 1 1 12,1569 12,1569 12,1569 12,1569 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-10 1 1 12,265 12,265 12,265 12,265 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-11 1 1 12,2273 12,2273 12,2273 12,2273 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-12 1 1 12,1403 12,1403 12,1403 12,1403 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-15 1 1 12,1634 12,1634 12,1634 12,1634 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-16 1 1 12,2183 12,2183 12,2183 12,2183 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-17 1 1 12,1927 12,1927 12,1927 12,1927 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-18 1 1 12,1562 12,1562 12,1562 12,1562 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-19 1 1 12,1672 12,1672 12,1672 12,1672 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-22 1 1 12,2404 12,2404 12,2404 12,2404 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-23 1 1 12,2032 12,2032 12,2032 12,2032 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-24 1 1 12,0064 12,0064 12,0064 12,0064 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-25 1 1 12,0224 12,0224 12,0224 12,0224 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-26 1 1 11,9896 11,9896 11,9896 11,9896 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-29 1 1 11,8892 11,8892 11,8892 11,8892 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-30 1 1 12,0787 12,0787 12,0787 12,0787 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-08-31 1 1 12,0535 12,0535 12,0535 12,0535 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-01 1 1 12,1308 12,1308 12,1308 12,1308 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-02 1 1 12,0802 12,0802 12,0802 12,0802 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-05 1 1 12,1089 12,1089 12,1089 12,1089 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-06 1 1 12,2087 12,2087 12,2087 12,2087 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-07 1 1 12,2605 12,2605 12,2605 12,2605 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-08 1 1 12,3541 12,3541 12,3541 12,3541 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-09 1 1 12,4493 12,4493 12,4493 12,4493 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-12 1 1 12,5879 12,5879 12,5879 12,5879 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-13 1 1 12,6208 12,6208 12,6208 12,6208 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-14 1 1 12,589 12,589 12,589 12,589 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-15 1 1 12,7581 12,7581 12,7581 12,7581 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-16 1 1 12,834 12,834 12,834 12,834 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-19 1 1 12,9421 12,9421 12,9421 12,9421 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-20 1 1 13,02 13,02 13,02 13,02 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-21 1 1 12,9881 12,9881 12,9881 12,9881 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-22 1 1 13,0396 13,0396 13,0396 13,0396 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-23 1 1 13,0264 13,0264 13,0264 13,0264 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-26 1 1 13,127 13,127 13,127 13,127 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-27 1 1 13,2648 13,2648 13,2648 13,2648 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-28 1 1 13,3092 13,3092 13,3092 13,3092 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-29 1 1 13,3399 13,3399 13,3399 13,3399 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-09-30 1 1 13,3528 13,3528 13,3528 13,3528 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-03 1 1 13,4932 13,4932 13,4932 13,4932 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-04 1 1 13,595 13,595 13,595 13,595 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-05 1 1 13,3931 13,3931 13,3931 13,3931 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-06 1 1 12,8227 12,8227 12,8227 12,8227 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-07 1 1 12,8072 12,8072 12,8072 12,8072 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-10 1 1 13,0275 13,0275 13,0275 13,0275 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-11 1 1 13,1592 13,1592 13,1592 13,1592 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-12 1 1 12,9749 12,9749 12,9749 12,9749 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-13 1 1 12,7813 12,7813 12,7813 12,7813 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-14 1 1 12,7155 12,7155 12,7155 12,7155 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-17 1 1 12,7476 12,7476 12,7476 12,7476 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-18 1 1 12,8582 12,8582 12,8582 12,8582 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-19 1 1 12,4764 12,4764 12,4764 12,4764 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-20 1 1 12,6276 12,6276 12,6276 12,6276 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-21 1 1 12,5245 12,5245 12,5245 12,5245 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-24 1 1 12,752 12,752 12,752 12,752 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-25 1 1 12,6446 12,6446 12,6446 12,6446 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-26 1 1 12,7036 12,7036 12,7036 12,7036 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-27 1 1 12,5785 12,5785 12,5785 12,5785 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-28 1 1 12,4948 12,4948 12,4948 12,4948 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-10-31 1 1 12,8646 12,8646 12,8646 12,8646 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-01 1 1 13,1687 13,1687 13,1687 13,1687 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-02 1 1 13,3163 13,3163 13,3163 13,3163 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-03 1 1 13,4622 13,4622 13,4622 13,4622 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-04 1 1 13,5212 13,5212 13,5212 13,5212 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-07 1 1 13,6242 13,6242 13,6242 13,6242 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-08 1 1 13,5588 13,5588 13,5588 13,5588 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-09 1 1 13,7438 13,7438 13,7438 13,7438 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-10 1 1 13,8029 13,8029 13,8029 13,8029 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-11 1 1 13,8366 13,8366 13,8366 13,8366 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-14 1 1 13,8533 13,8533 13,8533 13,8533 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-15 1 1 13,9466 13,9466 13,9466 13,9466 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-16 1 1 14,0003 14,0003 14,0003 14,0003 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-17 1 1 14,083 14,083 14,083 14,083 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-18 1 1 14,0624 14,0624 14,0624 14,0624 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-21 1 1 13,9704 13,9704 13,9704 13,9704 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-22 1 1 13,9254 13,9254 13,9254 13,9254 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-23 1 1 14,0354 14,0354 14,0354 14,0354 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-24 1 1 14,0893 14,0893 14,0893 14,0893 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-25 1 1 14,0575 14,0575 14,0575 14,0575 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-28 1 1 14,1272 14,1272 14,1272 14,1272 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-29 1 1 14,0182 14,0182 14,0182 14,0182 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-11-30 1 1 14,0883 14,0883 14,0883 14,0883 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-01 1 1 14,186 14,186 14,186 14,186 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-02 1 1 14,0344 14,0344 14,0344 14,0344 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-05 1 1 14,0112 14,0112 14,0112 14,0112 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-06 1 1 14,0167 14,0167 14,0167 14,0167 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-07 1 1 14,262 14,262 14,262 14,262 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-08 1 1 14,1047 14,1047 14,1047 14,1047 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-12 1 1 13,9819 13,9819 13,9819 13,9819 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-13 1 1 14,0187 14,0187 14,0187 14,0187 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-14 1 1 13,9458 13,9458 13,9458 13,9458 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-15 1 1 13,9622 13,9622 13,9622 13,9622 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-16 1 1 13,9685 13,9685 13,9685 13,9685 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-19 1 1 13,9615 13,9615 13,9615 13,9615 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-20 1 1 13,9967 13,9967 13,9967 13,9967 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-21 1 1 14,2992 14,2992 14,2992 14,2992 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-22 1 1 14,312 14,312 14,312 14,312 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-23 1 1 14,4002 14,4002 14,4002 14,4002 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-27 1 1 14,4805 14,4805 14,4805 14,4805 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-28 1 1 14,2252 14,2252 14,2252 14,2252 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-29 1 1 14,4035 14,4035 14,4035 14,4035 950774 SEB Investment Management SEB Emerging Marketsfond SEK 2005-12-30 1 1 14,3973 14,3973 14,3973 14,3973 122432 SEB Investment Management SEB Europafond SEK 2005-01-03 1 1 6,8198 6,8198 6,8198 6,8198 122432 SEB Investment Management SEB Europafond SEK 2005-01-04 1 1 6,8421 6,8421 6,8421 6,8421 122432 SEB Investment Management SEB Europafond SEK 2005-01-05 1 1 6,8058 6,8058 6,8058 6,8058 122432 SEB Investment Management SEB Europafond SEK 2005-01-07 1 1 6,8564 6,8564 6,8564 6,8564 122432 SEB Investment Management SEB Europafond SEK 2005-01-10 1 1 6,8637 6,8637 6,8637 6,8637 122432 SEB Investment Management SEB Europafond SEK 2005-01-11 1 1 6,822 6,822 6,822 6,822 122432 SEB Investment Management SEB Europafond SEK 2005-01-12 1 1 6,7977 6,7977 6,7977 6,7977 122432 SEB Investment Management SEB Europafond SEK 2005-01-13 1 1 6,7951 6,7951 6,7951 6,7951 122432 SEB Investment Management SEB Europafond SEK 2005-01-14 1 1 6,8438 6,8438 6,8438 6,8438 122432 SEB Investment Management SEB Europafond SEK 2005-01-17 1 1 6,8757 6,8757 6,8757 6,8757 122432 SEB Investment Management SEB Europafond SEK 2005-01-18 1 1 6,8374 6,8374 6,8374 6,8374 122432 SEB Investment Management SEB Europafond SEK 2005-01-19 1 1 6,8901 6,8901 6,8901 6,8901 122432 SEB Investment Management SEB Europafond SEK 2005-01-20 1 1 6,8377 6,8377 6,8377 6,8377 122432 SEB Investment Management SEB Europafond SEK 2005-01-21 1 1 6,8724 6,8724 6,8724 6,8724 122432 SEB Investment Management SEB Europafond SEK 2005-01-24 1 1 6,8732 6,8732 6,8732 6,8732 122432 SEB Investment Management SEB Europafond SEK 2005-01-25 1 1 6,9279 6,9279 6,9279 6,9279 122432 SEB Investment Management SEB Europafond SEK 2005-01-26 1 1 6,9636 6,9636 6,9636 6,9636 122432 SEB Investment Management SEB Europafond SEK 2005-01-27 1 1 6,9651 6,9651 6,9651 6,9651 122432 SEB Investment Management SEB Europafond SEK 2005-01-28 1 1 6,9815 6,9815 6,9815 6,9815 122432 SEB Investment Management SEB Europafond SEK 2005-01-31 1 1 7,0115 7,0115 7,0115 7,0115 122432 SEB Investment Management SEB Europafond SEK 2005-02-01 1 1 7,0281 7,0281 7,0281 7,0281 122432 SEB Investment Management SEB Europafond SEK 2005-02-02 1 1 7,0494 7,0494 7,0494 7,0494 122432 SEB Investment Management SEB Europafond SEK 2005-02-03 1 1 7,0371 7,0371 7,0371 7,0371 122432 SEB Investment Management SEB Europafond SEK 2005-02-04 1 1 7,0862 7,0862 7,0862 7,0862 122432 SEB Investment Management SEB Europafond SEK 2005-02-07 1 1 7,1514 7,1514 7,1514 7,1514 122432 SEB Investment Management SEB Europafond SEK 2005-02-08 1 1 7,1634 7,1634 7,1634 7,1634 122432 SEB Investment Management SEB Europafond SEK 2005-02-09 1 1 7,1684 7,1684 7,1684 7,1684 122432 SEB Investment Management SEB Europafond SEK 2005-02-10 1 1 7,1785 7,1785 7,1785 7,1785 122432 SEB Investment Management SEB Europafond SEK 2005-02-11 1 1 7,2009 7,2009 7,2009 7,2009 122432 SEB Investment Management SEB Europafond SEK 2005-02-14 1 1 7,2215 7,2215 7,2215 7,2215 122432 SEB Investment Management SEB Europafond SEK 2005-02-15 1 1 7,2469 7,2469 7,2469 7,2469 122432 SEB Investment Management SEB Europafond SEK 2005-02-16 1 1 7,2199 7,2199 7,2199 7,2199 122432 SEB Investment Management SEB Europafond SEK 2005-02-17 1 1 7,2891 7,2891 7,2891 7,2891 122432 SEB Investment Management SEB Europafond SEK 2005-02-18 1 1 7,2745 7,2745 7,2745 7,2745 122432 SEB Investment Management SEB Europafond SEK 2005-02-21 1 1 7,2908 7,2908 7,2908 7,2908 122432 SEB Investment Management SEB Europafond SEK 2005-02-22 1 1 7,2251 7,2251 7,2251 7,2251 122432 SEB Investment Management SEB Europafond SEK 2005-02-23 1 1 7,2024 7,2024 7,2024 7,2024 122432 SEB Investment Management SEB Europafond SEK 2005-02-24 1 1 7,213 7,213 7,213 7,213 122432 SEB Investment Management SEB Europafond SEK 2005-02-25 1 1 7,2727 7,2727 7,2727 7,2727 122432 SEB Investment Management SEB Europafond SEK 2005-02-28 1 1 7,2812 7,2812 7,2812 7,2812 122432 SEB Investment Management SEB Europafond SEK 2005-03-01 1 1 7,2969 7,2969 7,2969 7,2969 122432 SEB Investment Management SEB Europafond SEK 2005-03-02 1 1 7,2942 7,2942 7,2942 7,2942 122432 SEB Investment Management SEB Europafond SEK 2005-03-03 1 1 7,3161 7,3161 7,3161 7,3161 122432 SEB Investment Management SEB Europafond SEK 2005-03-04 1 1 7,3515 7,3515 7,3515 7,3515 122432 SEB Investment Management SEB Europafond SEK 2005-03-07 1 1 7,3457 7,3457 7,3457 7,3457 122432 SEB Investment Management SEB Europafond SEK 2005-03-08 1 1 7,3266 7,3266 7,3266 7,3266 122432 SEB Investment Management SEB Europafond SEK 2005-03-09 1 1 7,279 7,279 7,279 7,279 122432 SEB Investment Management SEB Europafond SEK 2005-03-10 1 1 7,2622 7,2622 7,2622 7,2622 122432 SEB Investment Management SEB Europafond SEK 2005-03-11 1 1 7,2642 7,2642 7,2642 7,2642 122432 SEB Investment Management SEB Europafond SEK 2005-03-14 1 1 7,2759 7,2759 7,2759 7,2759 122432 SEB Investment Management SEB Europafond SEK 2005-03-15 1 1 7,3151 7,3151 7,3151 7,3151 122432 SEB Investment Management SEB Europafond SEK 2005-03-16 1 1 7,2624 7,2624 7,2624 7,2624 122432 SEB Investment Management SEB Europafond SEK 2005-03-17 1 1 7,2625 7,2625 7,2625 7,2625 122432 SEB Investment Management SEB Europafond SEK 2005-03-18 1 1 7,3045 7,3045 7,3045 7,3045 122432 SEB Investment Management SEB Europafond SEK 2005-03-21 1 1 7,3217 7,3217 7,3217 7,3217 122432 SEB Investment Management SEB Europafond SEK 2005-03-22 1 1 7,266 7,266 7,266 7,266 122432 SEB Investment Management SEB Europafond SEK 2005-03-23 1 1 7,223 7,223 7,223 7,223 122432 SEB Investment Management SEB Europafond SEK 2005-03-24 1 1 7,2475 7,2475 7,2475 7,2475 122432 SEB Investment Management SEB Europafond SEK 2005-03-29 1 1 7,2698 7,2698 7,2698 7,2698 122432 SEB Investment Management SEB Europafond SEK 2005-03-30 1 1 7,249 7,249 7,249 7,249 122432 SEB Investment Management SEB Europafond SEK 2005-03-31 1 1 7,3249 7,3249 7,3249 7,3249 122432 SEB Investment Management SEB Europafond SEK 2005-04-01 1 1 7,3785 7,3785 7,3785 7,3785 122432 SEB Investment Management SEB Europafond SEK 2005-04-04 1 1 7,3624 7,3624 7,3624 7,3624 122432 SEB Investment Management SEB Europafond SEK 2005-04-05 1 1 7,4114 7,4114 7,4114 7,4114 122432 SEB Investment Management SEB Europafond SEK 2005-04-06 1 1 7,4322 7,4322 7,4322 7,4322 122432 SEB Investment Management SEB Europafond SEK 2005-04-07 1 1 7,4786 7,4786 7,4786 7,4786 122432 SEB Investment Management SEB Europafond SEK 2005-04-08 1 1 7,5157 7,5157 7,5157 7,5157 122432 SEB Investment Management SEB Europafond SEK 2005-04-11 1 1 7,4952 7,4952 7,4952 7,4952 122432 SEB Investment Management SEB Europafond SEK 2005-04-12 1 1 7,4763 7,4763 7,4763 7,4763 122432 SEB Investment Management SEB Europafond SEK 2005-04-13 1 1 7,488 7,488 7,488 7,488 122432 SEB Investment Management SEB Europafond SEK 2005-04-14 1 1 7,4913 7,4913 7,4913 7,4913 122432 SEB Investment Management SEB Europafond SEK 2005-04-15 1 1 7,3795 7,3795 7,3795 7,3795 122432 SEB Investment Management SEB Europafond SEK 2005-04-18 1 1 7,2354 7,2354 7,2354 7,2354 122432 SEB Investment Management SEB Europafond SEK 2005-04-19 1 1 7,2646 7,2646 7,2646 7,2646 122432 SEB Investment Management SEB Europafond SEK 2005-04-20 1 1 7,2515 7,2515 7,2515 7,2515 122432 SEB Investment Management SEB Europafond SEK 2005-04-21 1 1 7,2507 7,2507 7,2507 7,2507 122432 SEB Investment Management SEB Europafond SEK 2005-04-22 1 1 7,275 7,275 7,275 7,275 122432 SEB Investment Management SEB Europafond SEK 2005-04-25 1 1 7,2602 7,2602 7,2602 7,2602 122432 SEB Investment Management SEB Europafond SEK 2005-04-26 1 1 7,2294 7,2294 7,2294 7,2294 122432 SEB Investment Management SEB Europafond SEK 2005-04-27 1 1 7,1275 7,1275 7,1275 7,1275 122432 SEB Investment Management SEB Europafond SEK 2005-04-28 1 1 7,0868 7,0868 7,0868 7,0868 122432 SEB Investment Management SEB Europafond SEK 2005-04-29 1 1 7,1517 7,1517 7,1517 7,1517 122432 SEB Investment Management SEB Europafond SEK 2005-05-02 1 1 7,1976 7,1976 7,1976 7,1976 122432 SEB Investment Management SEB Europafond SEK 2005-05-03 1 1 7,2454 7,2454 7,2454 7,2454 122432 SEB Investment Management SEB Europafond SEK 2005-05-04 1 1 7,2462 7,2462 7,2462 7,2462 122432 SEB Investment Management SEB Europafond SEK 2005-05-06 1 1 7,3042 7,3042 7,3042 7,3042 122432 SEB Investment Management SEB Europafond SEK 2005-05-09 1 1 7,2787 7,2787 7,2787 7,2787 122432 SEB Investment Management SEB Europafond SEK 2005-05-10 1 1 7,3189 7,3189 7,3189 7,3189 122432 SEB Investment Management SEB Europafond SEK 2005-05-11 1 1 7,3737 7,3737 7,3737 7,3737 122432 SEB Investment Management SEB Europafond SEK 2005-05-12 1 1 7,4149 7,4149 7,4149 7,4149 122432 SEB Investment Management SEB Europafond SEK 2005-05-13 1 1 7,3618 7,3618 7,3618 7,3618 122432 SEB Investment Management SEB Europafond SEK 2005-05-16 1 1 7,4215 7,4215 7,4215 7,4215 122432 SEB Investment Management SEB Europafond SEK 2005-05-17 1 1 7,4189 7,4189 7,4189 7,4189 122432 SEB Investment Management SEB Europafond SEK 2005-05-18 1 1 7,4804 7,4804 7,4804 7,4804 122432 SEB Investment Management SEB Europafond SEK 2005-05-19 1 1 7,5168 7,5168 7,5168 7,5168 122432 SEB Investment Management SEB Europafond SEK 2005-05-20 1 1 7,5305 7,5305 7,5305 7,5305 122432 SEB Investment Management SEB Europafond SEK 2005-05-23 1 1 7,5511 7,5511 7,5511 7,5511 122432 SEB Investment Management SEB Europafond SEK 2005-05-24 1 1 7,5577 7,5577 7,5577 7,5577 122432 SEB Investment Management SEB Europafond SEK 2005-05-25 1 1 7,5824 7,5824 7,5824 7,5824 122432 SEB Investment Management SEB Europafond SEK 2005-05-26 1 1 7,6259 7,6259 7,6259 7,6259 122432 SEB Investment Management SEB Europafond SEK 2005-05-27 1 1 7,61 7,61 7,61 7,61 122432 SEB Investment Management SEB Europafond SEK 2005-05-30 1 1 7,6418 7,6418 7,6418 7,6418 122432 SEB Investment Management SEB Europafond SEK 2005-05-31 1 1 7,6543 7,6543 7,6543 7,6543 122432 SEB Investment Management SEB Europafond SEK 2005-06-01 1 1 7,6619 7,6619 7,6619 7,6619 122432 SEB Investment Management SEB Europafond SEK 2005-06-02 1 1 7,7076 7,7076 7,7076 7,7076 122432 SEB Investment Management SEB Europafond SEK 2005-06-03 1 1 7,6984 7,6984 7,6984 7,6984 122432 SEB Investment Management SEB Europafond SEK 2005-06-07 1 1 7,732 7,732 7,732 7,732 122432 SEB Investment Management SEB Europafond SEK 2005-06-08 1 1 7,8054 7,8054 7,8054 7,8054 122432 SEB Investment Management SEB Europafond SEK 2005-06-09 1 1 7,7964 7,7964 7,7964 7,7964 122432 SEB Investment Management SEB Europafond SEK 2005-06-10 1 1 7,8764 7,8764 7,8764 7,8764 122432 SEB Investment Management SEB Europafond SEK 2005-06-13 1 1 7,9004 7,9004 7,9004 7,9004 122432 SEB Investment Management SEB Europafond SEK 2005-06-14 1 1 7,9281 7,9281 7,9281 7,9281 122432 SEB Investment Management SEB Europafond SEK 2005-06-15 1 1 7,9269 7,9269 7,9269 7,9269 122432 SEB Investment Management SEB Europafond SEK 2005-06-16 1 1 7,9209 7,9209 7,9209 7,9209 122432 SEB Investment Management SEB Europafond SEK 2005-06-17 1 1 7,947 7,947 7,947 7,947 122432 SEB Investment Management SEB Europafond SEK 2005-06-20 1 1 7,9075 7,9075 7,9075 7,9075 122432 SEB Investment Management SEB Europafond SEK 2005-06-21 1 1 7,9396 7,9396 7,9396 7,9396 122432 SEB Investment Management SEB Europafond SEK 2005-06-22 1 1 8,0087 8,0087 8,0087 8,0087 122432 SEB Investment Management SEB Europafond SEK 2005-06-23 1 1 8,0783 8,0783 8,0783 8,0783 122432 SEB Investment Management SEB Europafond SEK 2005-06-27 1 1 7,9859 7,9859 7,9859 7,9859 122432 SEB Investment Management SEB Europafond SEK 2005-06-28 1 1 8,029 8,029 8,029 8,029 122432 SEB Investment Management SEB Europafond SEK 2005-06-29 1 1 8,1443 8,1443 8,1443 8,1443 122432 SEB Investment Management SEB Europafond SEK 2005-06-30 1 1 8,1917 8,1917 8,1917 8,1917 122432 SEB Investment Management SEB Europafond SEK 2005-07-01 1 1 8,2015 8,2015 8,2015 8,2015 122432 SEB Investment Management SEB Europafond SEK 2005-07-04 1 1 8,232 8,232 8,232 8,232 122432 SEB Investment Management SEB Europafond SEK 2005-07-05 1 1 8,1824 8,1824 8,1824 8,1824 122432 SEB Investment Management SEB Europafond SEK 2005-07-06 1 1 8,2015 8,2015 8,2015 8,2015 122432 SEB Investment Management SEB Europafond SEK 2005-07-07 1 1 8,0933 8,0933 8,0933 8,0933 122432 SEB Investment Management SEB Europafond SEK 2005-07-08 1 1 8,2289 8,2289 8,2289 8,2289 122432 SEB Investment Management SEB Europafond SEK 2005-07-11 1 1 8,3264 8,3264 8,3264 8,3264 122432 SEB Investment Management SEB Europafond SEK 2005-07-12 1 1 8,2737 8,2737 8,2737 8,2737 122432 SEB Investment Management SEB Europafond SEK 2005-07-13 1 1 8,2723 8,2723 8,2723 8,2723 122432 SEB Investment Management SEB Europafond SEK 2005-07-14 1 1 8,3424 8,3424 8,3424 8,3424 122432 SEB Investment Management SEB Europafond SEK 2005-07-15 1 1 8,3111 8,3111 8,3111 8,3111 122432 SEB Investment Management SEB Europafond SEK 2005-07-18 1 1 8,3009 8,3009 8,3009 8,3009 122432 SEB Investment Management SEB Europafond SEK 2005-07-19 1 1 8,3495 8,3495 8,3495 8,3495 122432 SEB Investment Management SEB Europafond SEK 2005-07-20 1 1 8,3734 8,3734 8,3734 8,3734 122432 SEB Investment Management SEB Europafond SEK 2005-07-21 1 1 8,436 8,436 8,436 8,436 122432 SEB Investment Management SEB Europafond SEK 2005-07-22 1 1 8,4089 8,4089 8,4089 8,4089 122432 SEB Investment Management SEB Europafond SEK 2005-07-25 1 1 8,4328 8,4328 8,4328 8,4328 122432 SEB Investment Management SEB Europafond SEK 2005-07-26 1 1 8,4777 8,4777 8,4777 8,4777 122432 SEB Investment Management SEB Europafond SEK 2005-07-27 1 1 8,4946 8,4946 8,4946 8,4946 122432 SEB Investment Management SEB Europafond SEK 2005-07-28 1 1 8,5 8,5 8,5 8,5 122432 SEB Investment Management SEB Europafond SEK 2005-07-29 1 1 8,5237 8,5237 8,5237 8,5237 122432 SEB Investment Management SEB Europafond SEK 2005-08-01 1 1 8,5141 8,5141 8,5141 8,5141 122432 SEB Investment Management SEB Europafond SEK 2005-08-02 1 1 8,5255 8,5255 8,5255 8,5255 122432 SEB Investment Management SEB Europafond SEK 2005-08-03 1 1 8,5586 8,5586 8,5586 8,5586 122432 SEB Investment Management SEB Europafond SEK 2005-08-04 1 1 8,4789 8,4789 8,4789 8,4789 122432 SEB Investment Management SEB Europafond SEK 2005-08-05 1 1 8,4409 8,4409 8,4409 8,4409 122432 SEB Investment Management SEB Europafond SEK 2005-08-08 1 1 8,4713 8,4713 8,4713 8,4713 122432 SEB Investment Management SEB Europafond SEK 2005-08-09 1 1 8,5039 8,5039 8,5039 8,5039 122432 SEB Investment Management SEB Europafond SEK 2005-08-10 1 1 8,5508 8,5508 8,5508 8,5508 122432 SEB Investment Management SEB Europafond SEK 2005-08-11 1 1 8,4967 8,4967 8,4967 8,4967 122432 SEB Investment Management SEB Europafond SEK 2005-08-12 1 1 8,4922 8,4922 8,4922 8,4922 122432 SEB Investment Management SEB Europafond SEK 2005-08-15 1 1 8,4942 8,4942 8,4942 8,4942 122432 SEB Investment Management SEB Europafond SEK 2005-08-16 1 1 8,5122 8,5122 8,5122 8,5122 122432 SEB Investment Management SEB Europafond SEK 2005-08-17 1 1 8,4188 8,4188 8,4188 8,4188 122432 SEB Investment Management SEB Europafond SEK 2005-08-18 1 1 8,4102 8,4102 8,4102 8,4102 122432 SEB Investment Management SEB Europafond SEK 2005-08-19 1 1 8,4678 8,4678 8,4678 8,4678 122432 SEB Investment Management SEB Europafond SEK 2005-08-22 1 1 8,5085 8,5085 8,5085 8,5085 122432 SEB Investment Management SEB Europafond SEK 2005-08-23 1 1 8,4766 8,4766 8,4766 8,4766 122432 SEB Investment Management SEB Europafond SEK 2005-08-24 1 1 8,3964 8,3964 8,3964 8,3964 122432 SEB Investment Management SEB Europafond SEK 2005-08-25 1 1 8,3792 8,3792 8,3792 8,3792 122432 SEB Investment Management SEB Europafond SEK 2005-08-26 1 1 8,3448 8,3448 8,3448 8,3448 122432 SEB Investment Management SEB Europafond SEK 2005-08-29 1 1 8,3092 8,3092 8,3092 8,3092 122432 SEB Investment Management SEB Europafond SEK 2005-08-30 1 1 8,3594 8,3594 8,3594 8,3594 122432 SEB Investment Management SEB Europafond SEK 2005-08-31 1 1 8,4282 8,4282 8,4282 8,4282 122432 SEB Investment Management SEB Europafond SEK 2005-09-01 1 1 8,5348 8,5348 8,5348 8,5348 122432 SEB Investment Management SEB Europafond SEK 2005-09-02 1 1 8,476 8,476 8,476 8,476 122432 SEB Investment Management SEB Europafond SEK 2005-09-05 1 1 8,5138 8,5138 8,5138 8,5138 122432 SEB Investment Management SEB Europafond SEK 2005-09-06 1 1 8,5823 8,5823 8,5823 8,5823 122432 SEB Investment Management SEB Europafond SEK 2005-09-07 1 1 8,6691 8,6691 8,6691 8,6691 122432 SEB Investment Management SEB Europafond SEK 2005-09-08 1 1 8,6462 8,6462 8,6462 8,6462 122432 SEB Investment Management SEB Europafond SEK 2005-09-09 1 1 8,674 8,674 8,674 8,674 122432 SEB Investment Management SEB Europafond SEK 2005-09-12 1 1 8,6653 8,6653 8,6653 8,6653 122432 SEB Investment Management SEB Europafond SEK 2005-09-13 1 1 8,6677 8,6677 8,6677 8,6677 122432 SEB Investment Management SEB Europafond SEK 2005-09-14 1 1 8,6939 8,6939 8,6939 8,6939 122432 SEB Investment Management SEB Europafond SEK 2005-09-15 1 1 8,7319 8,7319 8,7319 8,7319 122432 SEB Investment Management SEB Europafond SEK 2005-09-16 1 1 8,7563 8,7563 8,7563 8,7563 122432 SEB Investment Management SEB Europafond SEK 2005-09-19 1 1 8,7917 8,7917 8,7917 8,7917 122432 SEB Investment Management SEB Europafond SEK 2005-09-20 1 1 8,8068 8,8068 8,8068 8,8068 122432 SEB Investment Management SEB Europafond SEK 2005-09-21 1 1 8,7545 8,7545 8,7545 8,7545 122432 SEB Investment Management SEB Europafond SEK 2005-09-22 1 1 8,7037 8,7037 8,7037 8,7037 122432 SEB Investment Management SEB Europafond SEK 2005-09-23 1 1 8,7398 8,7398 8,7398 8,7398 122432 SEB Investment Management SEB Europafond SEK 2005-09-26 1 1 8,8438 8,8438 8,8438 8,8438 122432 SEB Investment Management SEB Europafond SEK 2005-09-27 1 1 8,8609 8,8609 8,8609 8,8609 122432 SEB Investment Management SEB Europafond SEK 2005-09-28 1 1 8,896 8,896 8,896 8,896 122432 SEB Investment Management SEB Europafond SEK 2005-09-29 1 1 8,8606 8,8606 8,8606 8,8606 122432 SEB Investment Management SEB Europafond SEK 2005-09-30 1 1 8,8439 8,8439 8,8439 8,8439 122432 SEB Investment Management SEB Europafond SEK 2005-10-03 1 1 8,8893 8,8893 8,8893 8,8893 122432 SEB Investment Management SEB Europafond SEK 2005-10-04 1 1 8,91 8,91 8,91 8,91 122432 SEB Investment Management SEB Europafond SEK 2005-10-05 1 1 8,8781 8,8781 8,8781 8,8781 122432 SEB Investment Management SEB Europafond SEK 2005-10-06 1 1 8,7317 8,7317 8,7317 8,7317 122432 SEB Investment Management SEB Europafond SEK 2005-10-07 1 1 8,7566 8,7566 8,7566 8,7566 122432 SEB Investment Management SEB Europafond SEK 2005-10-10 1 1 8,7888 8,7888 8,7888 8,7888 122432 SEB Investment Management SEB Europafond SEK 2005-10-11 1 1 8,7678 8,7678 8,7678 8,7678 122432 SEB Investment Management SEB Europafond SEK 2005-10-12 1 1 8,731 8,731 8,731 8,731 122432 SEB Investment Management SEB Europafond SEK 2005-10-13 1 1 8,5969 8,5969 8,5969 8,5969 122432 SEB Investment Management SEB Europafond SEK 2005-10-14 1 1 8,6799 8,6799 8,6799 8,6799 122432 SEB Investment Management SEB Europafond SEK 2005-10-17 1 1 8,7023 8,7023 8,7023 8,7023 122432 SEB Investment Management SEB Europafond SEK 2005-10-18 1 1 8,6673 8,6673 8,6673 8,6673 122432 SEB Investment Management SEB Europafond SEK 2005-10-19 1 1 8,4765 8,4765 8,4765 8,4765 122432 SEB Investment Management SEB Europafond SEK 2005-10-20 1 1 8,5614 8,5614 8,5614 8,5614 122432 SEB Investment Management SEB Europafond SEK 2005-10-21 1 1 8,4773 8,4773 8,4773 8,4773 122432 SEB Investment Management SEB Europafond SEK 2005-10-24 1 1 8,6209 8,6209 8,6209 8,6209 122432 SEB Investment Management SEB Europafond SEK 2005-10-25 1 1 8,6038 8,6038 8,6038 8,6038 122432 SEB Investment Management SEB Europafond SEK 2005-10-26 1 1 8,6204 8,6204 8,6204 8,6204 122432 SEB Investment Management SEB Europafond SEK 2005-10-27 1 1 8,5629 8,5629 8,5629 8,5629 122432 SEB Investment Management SEB Europafond SEK 2005-10-28 1 1 8,5428 8,5428 8,5428 8,5428 122432 SEB Investment Management SEB Europafond SEK 2005-10-31 1 1 8,7135 8,7135 8,7135 8,7135 122432 SEB Investment Management SEB Europafond SEK 2005-11-01 1 1 8,8318 8,8318 8,8318 8,8318 122432 SEB Investment Management SEB Europafond SEK 2005-11-02 1 1 8,8366 8,8366 8,8366 8,8366 122432 SEB Investment Management SEB Europafond SEK 2005-11-03 1 1 9,0011 9,0011 9,0011 9,0011 122432 SEB Investment Management SEB Europafond SEK 2005-11-04 1 1 8,9961 8,9961 8,9961 8,9961 122432 SEB Investment Management SEB Europafond SEK 2005-11-07 1 1 9,0334 9,0334 9,0334 9,0334 122432 SEB Investment Management SEB Europafond SEK 2005-11-08 1 1 8,975 8,975 8,975 8,975 122432 SEB Investment Management SEB Europafond SEK 2005-11-09 1 1 8,9972 8,9972 8,9972 8,9972 122432 SEB Investment Management SEB Europafond SEK 2005-11-10 1 1 9,0467 9,0467 9,0467 9,0467 122432 SEB Investment Management SEB Europafond SEK 2005-11-11 1 1 9,0369 9,0369 9,0369 9,0369 122432 SEB Investment Management SEB Europafond SEK 2005-11-14 1 1 9,0827 9,0827 9,0827 9,0827 122432 SEB Investment Management SEB Europafond SEK 2005-11-15 1 1 9,063 9,063 9,063 9,063 122432 SEB Investment Management SEB Europafond SEK 2005-11-16 1 1 8,9937 8,9937 8,9937 8,9937 122432 SEB Investment Management SEB Europafond SEK 2005-11-17 1 1 9,0909 9,0909 9,0909 9,0909 122432 SEB Investment Management SEB Europafond SEK 2005-11-18 1 1 9,0908 9,0908 9,0908 9,0908 122432 SEB Investment Management SEB Europafond SEK 2005-11-21 1 1 9,072 9,072 9,072 9,072 122432 SEB Investment Management SEB Europafond SEK 2005-11-22 1 1 9,0972 9,0972 9,0972 9,0972 122432 SEB Investment Management SEB Europafond SEK 2005-11-23 1 1 9,0859 9,0859 9,0859 9,0859 122432 SEB Investment Management SEB Europafond SEK 2005-11-24 1 1 9,0808 9,0808 9,0808 9,0808 122432 SEB Investment Management SEB Europafond SEK 2005-11-25 1 1 9,1028 9,1028 9,1028 9,1028 122432 SEB Investment Management SEB Europafond SEK 2005-11-28 1 1 9,1059 9,1059 9,1059 9,1059 122432 SEB Investment Management SEB Europafond SEK 2005-11-29 1 1 9,1 9,1 9,1 9,1 122432 SEB Investment Management SEB Europafond SEK 2005-11-30 1 1 9,0832 9,0832 9,0832 9,0832 122432 SEB Investment Management SEB Europafond SEK 2005-12-01 1 1 9,1449 9,1449 9,1449 9,1449 122432 SEB Investment Management SEB Europafond SEK 2005-12-02 1 1 9,0492 9,0492 9,0492 9,0492 122432 SEB Investment Management SEB Europafond SEK 2005-12-05 1 1 9,105 9,105 9,105 9,105 122432 SEB Investment Management SEB Europafond SEK 2005-12-06 1 1 9,081 9,081 9,081 9,081 122432 SEB Investment Management SEB Europafond SEK 2005-12-07 1 1 9,1609 9,1609 9,1609 9,1609 122432 SEB Investment Management SEB Europafond SEK 2005-12-08 1 1 9,1483 9,1483 9,1483 9,1483 122432 SEB Investment Management SEB Europafond SEK 2005-12-12 1 1 9,196 9,196 9,196 9,196 122432 SEB Investment Management SEB Europafond SEK 2005-12-13 1 1 9,1964 9,1964 9,1964 9,1964 122432 SEB Investment Management SEB Europafond SEK 2005-12-14 1 1 9,1713 9,1713 9,1713 9,1713 122432 SEB Investment Management SEB Europafond SEK 2005-12-15 1 1 9,1356 9,1356 9,1356 9,1356 122432 SEB Investment Management SEB Europafond SEK 2005-12-16 1 1 9,2085 9,2085 9,2085 9,2085 122432 SEB Investment Management SEB Europafond SEK 2005-12-19 1 1 9,1573 9,1573 9,1573 9,1573 122432 SEB Investment Management SEB Europafond SEK 2005-12-20 1 1 9,1478 9,1478 9,1478 9,1478 122432 SEB Investment Management SEB Europafond SEK 2005-12-21 1 1 9,227 9,227 9,227 9,227 122432 SEB Investment Management SEB Europafond SEK 2005-12-22 1 1 9,2783 9,2783 9,2783 9,2783 122432 SEB Investment Management SEB Europafond SEK 2005-12-23 1 1 9,2616 9,2616 9,2616 9,2616 122432 SEB Investment Management SEB Europafond SEK 2005-12-27 1 1 9,3325 9,3325 9,3325 9,3325 122432 SEB Investment Management SEB Europafond SEK 2005-12-28 1 1 9,2776 9,2776 9,2776 9,2776 122432 SEB Investment Management SEB Europafond SEK 2005-12-29 1 1 9,3048 9,3048 9,3048 9,3048 122432 SEB Investment Management SEB Europafond SEK 2005-12-30 1 1 9,2555 9,2555 9,2555 9,2555 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-11 1 1 19,4884 19,4884 19,4884 19,4884 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-14 1 1 19,5164 19,5164 19,5164 19,5164 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-15 1 1 19,5399 19,5399 19,5399 19,5399 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-16 1 1 19,4743 19,4743 19,4743 19,4743 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-17 1 1 19,6358 19,6358 19,6358 19,6358 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-18 1 1 19,6201 19,6201 19,6201 19,6201 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-21 1 1 19,5708 19,5708 19,5708 19,5708 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-22 1 1 19,3675 19,3675 19,3675 19,3675 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-23 1 1 19,2115 19,2115 19,2115 19,2115 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-24 1 1 19,2284 19,2284 19,2284 19,2284 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-25 1 1 19,4088 19,4088 19,4088 19,4088 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-02-28 1 1 19,4046 19,4046 19,4046 19,4046 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-01 1 1 19,4332 19,4332 19,4332 19,4332 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-02 1 1 19,4961 19,4961 19,4961 19,4961 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-03 1 1 19,4534 19,4534 19,4534 19,4534 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-04 1 1 19,4647 19,4647 19,4647 19,4647 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-07 1 1 19,5346 19,5346 19,5346 19,5346 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-08 1 1 19,5287 19,5287 19,5287 19,5287 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-09 1 1 19,5769 19,5769 19,5769 19,5769 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-10 1 1 19,5418 19,5418 19,5418 19,5418 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-11 1 1 19,5527 19,5527 19,5527 19,5527 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-14 1 1 19,5353 19,5353 19,5353 19,5353 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-15 1 1 19,5906 19,5906 19,5906 19,5906 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-16 1 1 19,528 19,528 19,528 19,528 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-17 1 1 19,5199 19,5199 19,5199 19,5199 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-18 1 1 19,6554 19,6554 19,6554 19,6554 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-21 1 1 19,6867 19,6867 19,6867 19,6867 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-22 1 1 19,5519 19,5519 19,5519 19,5519 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-23 1 1 19,3788 19,3788 19,3788 19,3788 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-24 1 1 19,3565 19,3565 19,3565 19,3565 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-29 1 1 19,5124 19,5124 19,5124 19,5124 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-30 1 1 19,5765 19,5765 19,5765 19,5765 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-03-31 1 1 19,7923 19,7923 19,7923 19,7923 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-01 1 1 20,0202 20,0202 20,0202 20,0202 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-04 1 1 20,0271 20,0271 20,0271 20,0271 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-05 1 1 20,11 20,11 20,11 20,11 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-06 1 1 20,1396 20,1396 20,1396 20,1396 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-07 1 1 20,2444 20,2444 20,2444 20,2444 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-08 1 1 20,3099 20,3099 20,3099 20,3099 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-11 1 1 20,2667 20,2667 20,2667 20,2667 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-12 1 1 20,1684 20,1684 20,1684 20,1684 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-13 1 1 20,2627 20,2627 20,2627 20,2627 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-14 1 1 20,2475 20,2475 20,2475 20,2475 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-15 1 1 19,9053 19,9053 19,9053 19,9053 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-18 1 1 19,4651 19,4651 19,4651 19,4651 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-19 1 1 19,611 19,611 19,611 19,611 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-20 1 1 19,6854 19,6854 19,6854 19,6854 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-21 1 1 19,6086 19,6086 19,6086 19,6086 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-22 1 1 19,6968 19,6968 19,6968 19,6968 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-25 1 1 19,5579 19,5579 19,5579 19,5579 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-26 1 1 19,504 19,504 19,504 19,504 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-27 1 1 19,243 19,243 19,243 19,243 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-28 1 1 19,1407 19,1407 19,1407 19,1407 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-04-29 1 1 19,1556 19,1556 19,1556 19,1556 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-02 1 1 19,3639 19,3639 19,3639 19,3639 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-03 1 1 19,4414 19,4414 19,4414 19,4414 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-04 1 1 19,3451 19,3451 19,3451 19,3451 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-06 1 1 19,3446 19,3446 19,3446 19,3446 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-09 1 1 19,4252 19,4252 19,4252 19,4252 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-10 1 1 19,4932 19,4932 19,4932 19,4932 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-11 1 1 19,4821 19,4821 19,4821 19,4821 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-12 1 1 19,5563 19,5563 19,5563 19,5563 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-13 1 1 19,5369 19,5369 19,5369 19,5369 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-16 1 1 19,563 19,563 19,563 19,563 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-17 1 1 19,5212 19,5212 19,5212 19,5212 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-18 1 1 19,6257 19,6257 19,6257 19,6257 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-19 1 1 19,7646 19,7646 19,7646 19,7646 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-20 1 1 19,7651 19,7651 19,7651 19,7651 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-23 1 1 19,7774 19,7774 19,7774 19,7774 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-24 1 1 19,7974 19,7974 19,7974 19,7974 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-25 1 1 19,8113 19,8113 19,8113 19,8113 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-26 1 1 19,9045 19,9045 19,9045 19,9045 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-27 1 1 19,8895 19,8895 19,8895 19,8895 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-30 1 1 19,9988 19,9988 19,9988 19,9988 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-05-31 1 1 20,0441 20,0441 20,0441 20,0441 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-01 1 1 20,0531 20,0531 20,0531 20,0531 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-02 1 1 20,1612 20,1612 20,1612 20,1612 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-03 1 1 20,2027 20,2027 20,2027 20,2027 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-07 1 1 20,2529 20,2529 20,2529 20,2529 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-08 1 1 20,4669 20,4669 20,4669 20,4669 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-09 1 1 20,5013 20,5013 20,5013 20,5013 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-10 1 1 20,678 20,678 20,678 20,678 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-13 1 1 20,9569 20,9569 20,9569 20,9569 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-14 1 1 21,083 21,083 21,083 21,083 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-15 1 1 21,0851 21,0851 21,0851 21,0851 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-16 1 1 21,1066 21,1066 21,1066 21,1066 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-17 1 1 21,0787 21,0787 21,0787 21,0787 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-20 1 1 21,0139 21,0139 21,0139 21,0139 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-21 1 1 21,1145 21,1145 21,1145 21,1145 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-22 1 1 21,3105 21,3105 21,3105 21,3105 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-23 1 1 21,5294 21,5294 21,5294 21,5294 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-27 1 1 21,2188 21,2188 21,2188 21,2188 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-28 1 1 21,3855 21,3855 21,3855 21,3855 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-29 1 1 21,7135 21,7135 21,7135 21,7135 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-06-30 1 1 21,7632 21,7632 21,7632 21,7632 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-01 1 1 21,8796 21,8796 21,8796 21,8796 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-04 1 1 21,9543 21,9543 21,9543 21,9543 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-05 1 1 21,8815 21,8815 21,8815 21,8815 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-06 1 1 21,8506 21,8506 21,8506 21,8506 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-07 1 1 21,7251 21,7251 21,7251 21,7251 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-08 1 1 22,0686 22,0686 22,0686 22,0686 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-11 1 1 22,3423 22,3423 22,3423 22,3423 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-12 1 1 22,2168 22,2168 22,2168 22,2168 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-13 1 1 22,1243 22,1243 22,1243 22,1243 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-14 1 1 22,234 22,234 22,234 22,234 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-15 1 1 22,2631 22,2631 22,2631 22,2631 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-18 1 1 22,2565 22,2565 22,2565 22,2565 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-19 1 1 22,3782 22,3782 22,3782 22,3782 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-20 1 1 22,384 22,384 22,384 22,384 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-21 1 1 22,4095 22,4095 22,4095 22,4095 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-22 1 1 22,3842 22,3842 22,3842 22,3842 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-25 1 1 22,3829 22,3829 22,3829 22,3829 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-26 1 1 22,5839 22,5839 22,5839 22,5839 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-27 1 1 22,7049 22,7049 22,7049 22,7049 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-28 1 1 22,7967 22,7967 22,7967 22,7967 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-07-29 1 1 22,9085 22,9085 22,9085 22,9085 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-01 1 1 22,9727 22,9727 22,9727 22,9727 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-02 1 1 23,049 23,049 23,049 23,049 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-03 1 1 23,0022 23,0022 23,0022 23,0022 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-04 1 1 22,9989 22,9989 22,9989 22,9989 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-05 1 1 22,8058 22,8058 22,8058 22,8058 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-08 1 1 22,8919 22,8919 22,8919 22,8919 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-09 1 1 22,91 22,91 22,91 22,91 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-10 1 1 22,9086 22,9086 22,9086 22,9086 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-11 1 1 22,7679 22,7679 22,7679 22,7679 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-12 1 1 22,698 22,698 22,698 22,698 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-15 1 1 22,74 22,74 22,74 22,74 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-16 1 1 22,8655 22,8655 22,8655 22,8655 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-17 1 1 22,638 22,638 22,638 22,638 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-18 1 1 22,6254 22,6254 22,6254 22,6254 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-19 1 1 22,7353 22,7353 22,7353 22,7353 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-22 1 1 22,8182 22,8182 22,8182 22,8182 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-23 1 1 22,7463 22,7463 22,7463 22,7463 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-24 1 1 22,5433 22,5433 22,5433 22,5433 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-25 1 1 22,5062 22,5062 22,5062 22,5062 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-26 1 1 22,6935 22,6935 22,6935 22,6935 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-29 1 1 22,565 22,565 22,565 22,565 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-30 1 1 22,7577 22,7577 22,7577 22,7577 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-08-31 1 1 22,8643 22,8643 22,8643 22,8643 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-01 1 1 23,1206 23,1206 23,1206 23,1206 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-02 1 1 22,9883 22,9883 22,9883 22,9883 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-05 1 1 23,0378 23,0378 23,0378 23,0378 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-06 1 1 23,1929 23,1929 23,1929 23,1929 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-07 1 1 23,316 23,316 23,316 23,316 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-08 1 1 23,2322 23,2322 23,2322 23,2322 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-09 1 1 23,344 23,344 23,344 23,344 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-12 1 1 23,3496 23,3496 23,3496 23,3496 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-13 1 1 23,3871 23,3871 23,3871 23,3871 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-14 1 1 23,442 23,442 23,442 23,442 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-15 1 1 23,4159 23,4159 23,4159 23,4159 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-16 1 1 23,5353 23,5353 23,5353 23,5353 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-19 1 1 23,5728 23,5728 23,5728 23,5728 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-20 1 1 23,683 23,683 23,683 23,683 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-21 1 1 23,6224 23,6224 23,6224 23,6224 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-22 1 1 23,4637 23,4637 23,4637 23,4637 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-23 1 1 23,5494 23,5494 23,5494 23,5494 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-26 1 1 23,6814 23,6814 23,6814 23,6814 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-27 1 1 23,8246 23,8246 23,8246 23,8246 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-28 1 1 23,7974 23,7974 23,7974 23,7974 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-29 1 1 23,7565 23,7565 23,7565 23,7565 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-09-30 1 1 23,8569 23,8569 23,8569 23,8569 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-03 1 1 24,0227 24,0227 24,0227 24,0227 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-04 1 1 24,0898 24,0898 24,0898 24,0898 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-05 1 1 24,029 24,029 24,029 24,029 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-06 1 1 23,5433 23,5433 23,5433 23,5433 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-07 1 1 23,5402 23,5402 23,5402 23,5402 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-10 1 1 23,6153 23,6153 23,6153 23,6153 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-11 1 1 23,5494 23,5494 23,5494 23,5494 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-12 1 1 23,5344 23,5344 23,5344 23,5344 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-13 1 1 23,1695 23,1695 23,1695 23,1695 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-14 1 1 23,1609 23,1609 23,1609 23,1609 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-17 1 1 23,2614 23,2614 23,2614 23,2614 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-18 1 1 23,1969 23,1969 23,1969 23,1969 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-19 1 1 22,4578 22,4578 22,4578 22,4578 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-20 1 1 22,7948 22,7948 22,7948 22,7948 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-21 1 1 22,4272 22,4272 22,4272 22,4272 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-24 1 1 22,8531 22,8531 22,8531 22,8531 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-25 1 1 22,8869 22,8869 22,8869 22,8869 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-26 1 1 22,8788 22,8788 22,8788 22,8788 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-27 1 1 22,5191 22,5191 22,5191 22,5191 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-28 1 1 22,3296 22,3296 22,3296 22,3296 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-10-31 1 1 22,7357 22,7357 22,7357 22,7357 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-01 1 1 23,0079 23,0079 23,0079 23,0079 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-02 1 1 23,0525 23,0525 23,0525 23,0525 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-03 1 1 23,21 23,21 23,21 23,21 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-04 1 1 23,2331 23,2331 23,2331 23,2331 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-07 1 1 23,3109 23,3109 23,3109 23,3109 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-08 1 1 23,0787 23,0787 23,0787 23,0787 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-09 1 1 23,1737 23,1737 23,1737 23,1737 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-10 1 1 23,3835 23,3835 23,3835 23,3835 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-11 1 1 23,3863 23,3863 23,3863 23,3863 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-14 1 1 23,6033 23,6033 23,6033 23,6033 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-15 1 1 23,7047 23,7047 23,7047 23,7047 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-16 1 1 23,604 23,604 23,604 23,604 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-17 1 1 23,7784 23,7784 23,7784 23,7784 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-18 1 1 23,7988 23,7988 23,7988 23,7988 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-21 1 1 23,7341 23,7341 23,7341 23,7341 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-22 1 1 23,7933 23,7933 23,7933 23,7933 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-23 1 1 23,6735 23,6735 23,6735 23,6735 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-24 1 1 23,7085 23,7085 23,7085 23,7085 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-25 1 1 23,754 23,754 23,754 23,754 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-28 1 1 23,8423 23,8423 23,8423 23,8423 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-29 1 1 23,8592 23,8592 23,8592 23,8592 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-11-30 1 1 23,9236 23,9236 23,9236 23,9236 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-01 1 1 24,0221 24,0221 24,0221 24,0221 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-02 1 1 24,0654 24,0654 24,0654 24,0654 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-05 1 1 24,1937 24,1937 24,1937 24,1937 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-06 1 1 24,0446 24,0446 24,0446 24,0446 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-07 1 1 24,303 24,303 24,303 24,303 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-08 1 1 24,2099 24,2099 24,2099 24,2099 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-12 1 1 24,2197 24,2197 24,2197 24,2197 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-13 1 1 24,1954 24,1954 24,1954 24,1954 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-14 1 1 24,2042 24,2042 24,2042 24,2042 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-15 1 1 24,1537 24,1537 24,1537 24,1537 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-16 1 1 24,4106 24,4106 24,4106 24,4106 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-19 1 1 24,3651 24,3651 24,3651 24,3651 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-20 1 1 24,4233 24,4233 24,4233 24,4233 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-21 1 1 24,5418 24,5418 24,5418 24,5418 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-22 1 1 24,7427 24,7427 24,7427 24,7427 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-23 1 1 24,7808 24,7808 24,7808 24,7808 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-27 1 1 24,8417 24,8417 24,8417 24,8417 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-28 1 1 24,6342 24,6342 24,6342 24,6342 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-29 1 1 24,742 24,742 24,742 24,742 556589 SEB Investment Management SEB Europafond Småbolag SEK 2005-12-30 1 1 24,6904 24,6904 24,6904 24,6904 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-03 1 1 5,9023 5,9023 5,9023 5,9023 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-04 1 1 5,9379 5,9379 5,9379 5,9379 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-05 1 1 5,9026 5,9026 5,9026 5,9026 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-07 1 1 5,9369 5,9369 5,9369 5,9369 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-10 1 1 5,9667 5,9667 5,9667 5,9667 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-11 1 1 5,9299 5,9299 5,9299 5,9299 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-12 1 1 5,8874 5,8874 5,8874 5,8874 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-13 1 1 5,8996 5,8996 5,8996 5,8996 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-14 1 1 5,9271 5,9271 5,9271 5,9271 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-17 1 1 5,9644 5,9644 5,9644 5,9644 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-18 1 1 5,9498 5,9498 5,9498 5,9498 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-19 1 1 5,9875 5,9875 5,9875 5,9875 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-20 1 1 5,928 5,928 5,928 5,928 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-21 1 1 5,9286 5,9286 5,9286 5,9286 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-24 1 1 5,8816 5,8816 5,8816 5,8816 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-25 1 1 5,9238 5,9238 5,9238 5,9238 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-26 1 1 5,9495 5,9495 5,9495 5,9495 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-27 1 1 5,9582 5,9582 5,9582 5,9582 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-28 1 1 5,961 5,961 5,961 5,961 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-01-31 1 1 6,0012 6,0012 6,0012 6,0012 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-01 1 1 6,0159 6,0159 6,0159 6,0159 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-02 1 1 6,0463 6,0463 6,0463 6,0463 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-03 1 1 6,061 6,061 6,061 6,061 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-04 1 1 6,094 6,094 6,094 6,094 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-07 1 1 6,1749 6,1749 6,1749 6,1749 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-08 1 1 6,1993 6,1993 6,1993 6,1993 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-09 1 1 6,194 6,194 6,194 6,194 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-10 1 1 6,1443 6,1443 6,1443 6,1443 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-11 1 1 6,1761 6,1761 6,1761 6,1761 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-14 1 1 6,188 6,188 6,188 6,188 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-15 1 1 6,1856 6,1856 6,1856 6,1856 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-16 1 1 6,1595 6,1595 6,1595 6,1595 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-17 1 1 6,1761 6,1761 6,1761 6,1761 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-18 1 1 6,1486 6,1486 6,1486 6,1486 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-21 1 1 6,1622 6,1622 6,1622 6,1622 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-22 1 1 6,089 6,089 6,089 6,089 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-23 1 1 6,0605 6,0605 6,0605 6,0605 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-24 1 1 6,0534 6,0534 6,0534 6,0534 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-25 1 1 6,1181 6,1181 6,1181 6,1181 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-02-28 1 1 6,1395 6,1395 6,1395 6,1395 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-01 1 1 6,1539 6,1539 6,1539 6,1539 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-02 1 1 6,1811 6,1811 6,1811 6,1811 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-03 1 1 6,2015 6,2015 6,2015 6,2015 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-04 1 1 6,2008 6,2008 6,2008 6,2008 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-07 1 1 6,2135 6,2135 6,2135 6,2135 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-08 1 1 6,1648 6,1648 6,1648 6,1648 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-09 1 1 6,1333 6,1333 6,1333 6,1333 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-10 1 1 6,0932 6,0932 6,0932 6,0932 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-11 1 1 6,103 6,103 6,103 6,103 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-14 1 1 6,1015 6,1015 6,1015 6,1015 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-15 1 1 6,1583 6,1583 6,1583 6,1583 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-16 1 1 6,0742 6,0742 6,0742 6,0742 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-17 1 1 6,0719 6,0719 6,0719 6,0719 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-18 1 1 6,1063 6,1063 6,1063 6,1063 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-21 1 1 6,1267 6,1267 6,1267 6,1267 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-22 1 1 6,1201 6,1201 6,1201 6,1201 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-23 1 1 6,093 6,093 6,093 6,093 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-24 1 1 6,1159 6,1159 6,1159 6,1159 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-29 1 1 6,1382 6,1382 6,1382 6,1382 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-30 1 1 6,1059 6,1059 6,1059 6,1059 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-03-31 1 1 6,175 6,175 6,175 6,175 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-01 1 1 6,1968 6,1968 6,1968 6,1968 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-04 1 1 6,1897 6,1897 6,1897 6,1897 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-05 1 1 6,2438 6,2438 6,2438 6,2438 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-06 1 1 6,2457 6,2457 6,2457 6,2457 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-07 1 1 6,2372 6,2372 6,2372 6,2372 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-08 1 1 6,3015 6,3015 6,3015 6,3015 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-11 1 1 6,2402 6,2402 6,2402 6,2402 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-12 1 1 6,2293 6,2293 6,2293 6,2293 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-13 1 1 6,2683 6,2683 6,2683 6,2683 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-14 1 1 6,2721 6,2721 6,2721 6,2721 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-15 1 1 6,161 6,161 6,161 6,161 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-18 1 1 6,0407 6,0407 6,0407 6,0407 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-19 1 1 6,0816 6,0816 6,0816 6,0816 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-20 1 1 6,0626 6,0626 6,0626 6,0626 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-21 1 1 6,0554 6,0554 6,0554 6,0554 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-22 1 1 6,0858 6,0858 6,0858 6,0858 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-25 1 1 6,1001 6,1001 6,1001 6,1001 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-26 1 1 6,0787 6,0787 6,0787 6,0787 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-27 1 1 5,9977 5,9977 5,9977 5,9977 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-28 1 1 6,0101 6,0101 6,0101 6,0101 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-04-29 1 1 6,0415 6,0415 6,0415 6,0415 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-02 1 1 6,1167 6,1167 6,1167 6,1167 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-03 1 1 6,123 6,123 6,123 6,123 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-04 1 1 6,1033 6,1033 6,1033 6,1033 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-06 1 1 6,1989 6,1989 6,1989 6,1989 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-09 1 1 6,1958 6,1958 6,1958 6,1958 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-10 1 1 6,1865 6,1865 6,1865 6,1865 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-11 1 1 6,1938 6,1938 6,1938 6,1938 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-12 1 1 6,2273 6,2273 6,2273 6,2273 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-13 1 1 6,2067 6,2067 6,2067 6,2067 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-16 1 1 6,2102 6,2102 6,2102 6,2102 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-17 1 1 6,2198 6,2198 6,2198 6,2198 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-18 1 1 6,2884 6,2884 6,2884 6,2884 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-19 1 1 6,3289 6,3289 6,3289 6,3289 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-20 1 1 6,338 6,338 6,338 6,338 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-23 1 1 6,3569 6,3569 6,3569 6,3569 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-24 1 1 6,36 6,36 6,36 6,36 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-25 1 1 6,3498 6,3498 6,3498 6,3498 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-26 1 1 6,4016 6,4016 6,4016 6,4016 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-27 1 1 6,4177 6,4177 6,4177 6,4177 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-30 1 1 6,4579 6,4579 6,4579 6,4579 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-05-31 1 1 6,4625 6,4625 6,4625 6,4625 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-01 1 1 6,4916 6,4916 6,4916 6,4916 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-02 1 1 6,5232 6,5232 6,5232 6,5232 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-03 1 1 6,5172 6,5172 6,5172 6,5172 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-07 1 1 6,5466 6,5466 6,5466 6,5466 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-08 1 1 6,5629 6,5629 6,5629 6,5629 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-09 1 1 6,5655 6,5655 6,5655 6,5655 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-10 1 1 6,6488 6,6488 6,6488 6,6488 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-13 1 1 6,6905 6,6905 6,6905 6,6905 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-14 1 1 6,7379 6,7379 6,7379 6,7379 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-15 1 1 6,7209 6,7209 6,7209 6,7209 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-16 1 1 6,7365 6,7365 6,7365 6,7365 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-17 1 1 6,7374 6,7374 6,7374 6,7374 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-20 1 1 6,7246 6,7246 6,7246 6,7246 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-21 1 1 6,7564 6,7564 6,7564 6,7564 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-22 1 1 6,8069 6,8069 6,8069 6,8069 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-23 1 1 6,8786 6,8786 6,8786 6,8786 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-27 1 1 6,738 6,738 6,738 6,738 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-28 1 1 6,8064 6,8064 6,8064 6,8064 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-29 1 1 6,8769 6,8769 6,8769 6,8769 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-06-30 1 1 6,9004 6,9004 6,9004 6,9004 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-01 1 1 6,9015 6,9015 6,9015 6,9015 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-04 1 1 6,9676 6,9676 6,9676 6,9676 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-05 1 1 6,93 6,93 6,93 6,93 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-06 1 1 6,9431 6,9431 6,9431 6,9431 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-07 1 1 6,8472 6,8472 6,8472 6,8472 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-08 1 1 6,928 6,928 6,928 6,928 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-11 1 1 7,0145 7,0145 7,0145 7,0145 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-12 1 1 6,9499 6,9499 6,9499 6,9499 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-13 1 1 6,9502 6,9502 6,9502 6,9502 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-14 1 1 6,9981 6,9981 6,9981 6,9981 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-15 1 1 6,9805 6,9805 6,9805 6,9805 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-18 1 1 6,97 6,97 6,97 6,97 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-19 1 1 7,0106 7,0106 7,0106 7,0106 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-20 1 1 6,9867 6,9867 6,9867 6,9867 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-21 1 1 6,9992 6,9992 6,9992 6,9992 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-22 1 1 6,9943 6,9943 6,9943 6,9943 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-25 1 1 7,01 7,01 7,01 7,01 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-26 1 1 7,0575 7,0575 7,0575 7,0575 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-27 1 1 7,0717 7,0717 7,0717 7,0717 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-28 1 1 7,0737 7,0737 7,0737 7,0737 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-07-29 1 1 7,0902 7,0902 7,0902 7,0902 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-01 1 1 7,0465 7,0465 7,0465 7,0465 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-02 1 1 7,064 7,064 7,064 7,064 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-03 1 1 7,0532 7,0532 7,0532 7,0532 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-04 1 1 7,0061 7,0061 7,0061 7,0061 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-05 1 1 6,9633 6,9633 6,9633 6,9633 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-08 1 1 6,9637 6,9637 6,9637 6,9637 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-09 1 1 6,9869 6,9869 6,9869 6,9869 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-10 1 1 7,0541 7,0541 7,0541 7,0541 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-11 1 1 7,0194 7,0194 7,0194 7,0194 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-12 1 1 7,0238 7,0238 7,0238 7,0238 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-15 1 1 7,0282 7,0282 7,0282 7,0282 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-16 1 1 7,0558 7,0558 7,0558 7,0558 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-17 1 1 7,0127 7,0127 7,0127 7,0127 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-18 1 1 7,032 7,032 7,032 7,032 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-19 1 1 7,0918 7,0918 7,0918 7,0918 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-22 1 1 7,1225 7,1225 7,1225 7,1225 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-23 1 1 7,0802 7,0802 7,0802 7,0802 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-24 1 1 7,0027 7,0027 7,0027 7,0027 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-25 1 1 6,9718 6,9718 6,9718 6,9718 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-26 1 1 6,9323 6,9323 6,9323 6,9323 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-29 1 1 6,9217 6,9217 6,9217 6,9217 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-30 1 1 6,9933 6,9933 6,9933 6,9933 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-08-31 1 1 6,9937 6,9937 6,9937 6,9937 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-01 1 1 7,0333 7,0333 7,0333 7,0333 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-02 1 1 6,9654 6,9654 6,9654 6,9654 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-05 1 1 6,9827 6,9827 6,9827 6,9827 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-06 1 1 7,0331 7,0331 7,0331 7,0331 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-07 1 1 7,0798 7,0798 7,0798 7,0798 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-08 1 1 7,0783 7,0783 7,0783 7,0783 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-09 1 1 7,1188 7,1188 7,1188 7,1188 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-12 1 1 7,1711 7,1711 7,1711 7,1711 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-13 1 1 7,1629 7,1629 7,1629 7,1629 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-14 1 1 7,1667 7,1667 7,1667 7,1667 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-15 1 1 7,2009 7,2009 7,2009 7,2009 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-16 1 1 7,2259 7,2259 7,2259 7,2259 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-19 1 1 7,2533 7,2533 7,2533 7,2533 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-20 1 1 7,2558 7,2558 7,2558 7,2558 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-21 1 1 7,1794 7,1794 7,1794 7,1794 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-22 1 1 7,176 7,176 7,176 7,176 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-23 1 1 7,2184 7,2184 7,2184 7,2184 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-26 1 1 7,3087 7,3087 7,3087 7,3087 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-27 1 1 7,3281 7,3281 7,3281 7,3281 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-28 1 1 7,3708 7,3708 7,3708 7,3708 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-29 1 1 7,3491 7,3491 7,3491 7,3491 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-09-30 1 1 7,3794 7,3794 7,3794 7,3794 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-03 1 1 7,4435 7,4435 7,4435 7,4435 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-04 1 1 7,426 7,426 7,426 7,426 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-05 1 1 7,3568 7,3568 7,3568 7,3568 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-06 1 1 7,1822 7,1822 7,1822 7,1822 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-07 1 1 7,2021 7,2021 7,2021 7,2021 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-10 1 1 7,219 7,219 7,219 7,219 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-11 1 1 7,2416 7,2416 7,2416 7,2416 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-12 1 1 7,216 7,216 7,216 7,216 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-13 1 1 7,1507 7,1507 7,1507 7,1507 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-14 1 1 7,1722 7,1722 7,1722 7,1722 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-17 1 1 7,2071 7,2071 7,2071 7,2071 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-18 1 1 7,2052 7,2052 7,2052 7,2052 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-19 1 1 7,1075 7,1075 7,1075 7,1075 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-20 1 1 7,194 7,194 7,194 7,194 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-21 1 1 7,1212 7,1212 7,1212 7,1212 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-24 1 1 7,2248 7,2248 7,2248 7,2248 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-25 1 1 7,2188 7,2188 7,2188 7,2188 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-26 1 1 7,236 7,236 7,236 7,236 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-27 1 1 7,1807 7,1807 7,1807 7,1807 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-28 1 1 7,1494 7,1494 7,1494 7,1494 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-10-31 1 1 7,3301 7,3301 7,3301 7,3301 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-01 1 1 7,3821 7,3821 7,3821 7,3821 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-02 1 1 7,3875 7,3875 7,3875 7,3875 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-03 1 1 7,5162 7,5162 7,5162 7,5162 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-04 1 1 7,5261 7,5261 7,5261 7,5261 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-07 1 1 7,5955 7,5955 7,5955 7,5955 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-08 1 1 7,5569 7,5569 7,5569 7,5569 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-09 1 1 7,5824 7,5824 7,5824 7,5824 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-10 1 1 7,6221 7,6221 7,6221 7,6221 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-11 1 1 7,6599 7,6599 7,6599 7,6599 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-14 1 1 7,6751 7,6751 7,6751 7,6751 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-15 1 1 7,6867 7,6867 7,6867 7,6867 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-16 1 1 7,6847 7,6847 7,6847 7,6847 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-17 1 1 7,7368 7,7368 7,7368 7,7368 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-18 1 1 7,7533 7,7533 7,7533 7,7533 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-21 1 1 7,7103 7,7103 7,7103 7,7103 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-22 1 1 7,7611 7,7611 7,7611 7,7611 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-23 1 1 7,7459 7,7459 7,7459 7,7459 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-24 1 1 7,7428 7,7428 7,7428 7,7428 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-25 1 1 7,7548 7,7548 7,7548 7,7548 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-28 1 1 7,7639 7,7639 7,7639 7,7639 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-29 1 1 7,7675 7,7675 7,7675 7,7675 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-11-30 1 1 7,7405 7,7405 7,7405 7,7405 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-01 1 1 7,7929 7,7929 7,7929 7,7929 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-02 1 1 7,8317 7,8317 7,8317 7,8317 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-05 1 1 7,8084 7,8084 7,8084 7,8084 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-06 1 1 7,7881 7,7881 7,7881 7,7881 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-07 1 1 7,8315 7,8315 7,8315 7,8315 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-08 1 1 7,7976 7,7976 7,7976 7,7976 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-12 1 1 7,8053 7,8053 7,8053 7,8053 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-13 1 1 7,8045 7,8045 7,8045 7,8045 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-14 1 1 7,7954 7,7954 7,7954 7,7954 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-15 1 1 7,7813 7,7813 7,7813 7,7813 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-16 1 1 7,8213 7,8213 7,8213 7,8213 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-19 1 1 7,7936 7,7936 7,7936 7,7936 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-20 1 1 7,796 7,796 7,796 7,796 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-21 1 1 7,8767 7,8767 7,8767 7,8767 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-22 1 1 7,8971 7,8971 7,8971 7,8971 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-23 1 1 7,9264 7,9264 7,9264 7,9264 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-27 1 1 7,9537 7,9537 7,9537 7,9537 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-28 1 1 7,8699 7,8699 7,8699 7,8699 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-29 1 1 7,9045 7,9045 7,9045 7,9045 972679 SEB Investment Management SEB Generationsfond 50-tal SEK 2005-12-30 1 1 7,8548 7,8548 7,8548 7,8548 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-03 1 1 5,9154 5,9154 5,9154 5,9154 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-04 1 1 5,9503 5,9503 5,9503 5,9503 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-05 1 1 5,916 5,916 5,916 5,916 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-07 1 1 5,9501 5,9501 5,9501 5,9501 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-10 1 1 5,9789 5,9789 5,9789 5,9789 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-11 1 1 5,9423 5,9423 5,9423 5,9423 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-12 1 1 5,9007 5,9007 5,9007 5,9007 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-13 1 1 5,9127 5,9127 5,9127 5,9127 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-14 1 1 5,9403 5,9403 5,9403 5,9403 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-17 1 1 5,9776 5,9776 5,9776 5,9776 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-18 1 1 5,9628 5,9628 5,9628 5,9628 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-19 1 1 6,0012 6,0012 6,0012 6,0012 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-20 1 1 5,9408 5,9408 5,9408 5,9408 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-21 1 1 5,9411 5,9411 5,9411 5,9411 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-24 1 1 5,8937 5,8937 5,8937 5,8937 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-25 1 1 5,9364 5,9364 5,9364 5,9364 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-26 1 1 5,9619 5,9619 5,9619 5,9619 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-27 1 1 5,9705 5,9705 5,9705 5,9705 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-28 1 1 5,9734 5,9734 5,9734 5,9734 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-01-31 1 1 6,0138 6,0138 6,0138 6,0138 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-01 1 1 6,0289 6,0289 6,0289 6,0289 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-02 1 1 6,0597 6,0597 6,0597 6,0597 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-03 1 1 6,0745 6,0745 6,0745 6,0745 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-04 1 1 6,1077 6,1077 6,1077 6,1077 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-07 1 1 6,189 6,189 6,189 6,189 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-08 1 1 6,2136 6,2136 6,2136 6,2136 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-09 1 1 6,2084 6,2084 6,2084 6,2084 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-10 1 1 6,158 6,158 6,158 6,158 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-11 1 1 6,19 6,19 6,19 6,19 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-14 1 1 6,2021 6,2021 6,2021 6,2021 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-15 1 1 6,1995 6,1995 6,1995 6,1995 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-16 1 1 6,1735 6,1735 6,1735 6,1735 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-17 1 1 6,1898 6,1898 6,1898 6,1898 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-18 1 1 6,1618 6,1618 6,1618 6,1618 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-21 1 1 6,1755 6,1755 6,1755 6,1755 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-22 1 1 6,102 6,102 6,102 6,102 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-23 1 1 6,0734 6,0734 6,0734 6,0734 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-24 1 1 6,0666 6,0666 6,0666 6,0666 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-25 1 1 6,1318 6,1318 6,1318 6,1318 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-02-28 1 1 6,1533 6,1533 6,1533 6,1533 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-01 1 1 6,1684 6,1684 6,1684 6,1684 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-02 1 1 6,1956 6,1956 6,1956 6,1956 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-03 1 1 6,2167 6,2167 6,2167 6,2167 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-04 1 1 6,2158 6,2158 6,2158 6,2158 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-07 1 1 6,2287 6,2287 6,2287 6,2287 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-08 1 1 6,1797 6,1797 6,1797 6,1797 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-09 1 1 6,1475 6,1475 6,1475 6,1475 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-10 1 1 6,1071 6,1071 6,1071 6,1071 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-11 1 1 6,1172 6,1172 6,1172 6,1172 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-14 1 1 6,1153 6,1153 6,1153 6,1153 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-15 1 1 6,1727 6,1727 6,1727 6,1727 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-16 1 1 6,087 6,087 6,087 6,087 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-17 1 1 6,0847 6,0847 6,0847 6,0847 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-18 1 1 6,1195 6,1195 6,1195 6,1195 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-21 1 1 6,1402 6,1402 6,1402 6,1402 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-22 1 1 6,1336 6,1336 6,1336 6,1336 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-23 1 1 6,1073 6,1073 6,1073 6,1073 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-24 1 1 6,1306 6,1306 6,1306 6,1306 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-29 1 1 6,1532 6,1532 6,1532 6,1532 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-30 1 1 6,1204 6,1204 6,1204 6,1204 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-03-31 1 1 6,1897 6,1897 6,1897 6,1897 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-01 1 1 6,2113 6,2113 6,2113 6,2113 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-04 1 1 6,2053 6,2053 6,2053 6,2053 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-05 1 1 6,2593 6,2593 6,2593 6,2593 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-06 1 1 6,2611 6,2611 6,2611 6,2611 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-07 1 1 6,2524 6,2524 6,2524 6,2524 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-08 1 1 6,3173 6,3173 6,3173 6,3173 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-11 1 1 6,2551 6,2551 6,2551 6,2551 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-12 1 1 6,2446 6,2446 6,2446 6,2446 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-13 1 1 6,2833 6,2833 6,2833 6,2833 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-14 1 1 6,2878 6,2878 6,2878 6,2878 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-15 1 1 6,1763 6,1763 6,1763 6,1763 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-18 1 1 6,0558 6,0558 6,0558 6,0558 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-19 1 1 6,0965 6,0965 6,0965 6,0965 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-20 1 1 6,0772 6,0772 6,0772 6,0772 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-21 1 1 6,0697 6,0697 6,0697 6,0697 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-22 1 1 6,0996 6,0996 6,0996 6,0996 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-25 1 1 6,1142 6,1142 6,1142 6,1142 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-26 1 1 6,0931 6,0931 6,0931 6,0931 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-27 1 1 6,0122 6,0122 6,0122 6,0122 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-28 1 1 6,0249 6,0249 6,0249 6,0249 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-04-29 1 1 6,0569 6,0569 6,0569 6,0569 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-02 1 1 6,1324 6,1324 6,1324 6,1324 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-03 1 1 6,1388 6,1388 6,1388 6,1388 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-04 1 1 6,1186 6,1186 6,1186 6,1186 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-06 1 1 6,2144 6,2144 6,2144 6,2144 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-09 1 1 6,2116 6,2116 6,2116 6,2116 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-10 1 1 6,2022 6,2022 6,2022 6,2022 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-11 1 1 6,2101 6,2101 6,2101 6,2101 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-12 1 1 6,2439 6,2439 6,2439 6,2439 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-13 1 1 6,2234 6,2234 6,2234 6,2234 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-16 1 1 6,2273 6,2273 6,2273 6,2273 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-17 1 1 6,237 6,237 6,237 6,237 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-18 1 1 6,3053 6,3053 6,3053 6,3053 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-19 1 1 6,3458 6,3458 6,3458 6,3458 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-20 1 1 6,355 6,355 6,355 6,355 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-23 1 1 6,3739 6,3739 6,3739 6,3739 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-24 1 1 6,3769 6,3769 6,3769 6,3769 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-25 1 1 6,3667 6,3667 6,3667 6,3667 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-26 1 1 6,4182 6,4182 6,4182 6,4182 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-27 1 1 6,4341 6,4341 6,4341 6,4341 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-30 1 1 6,4741 6,4741 6,4741 6,4741 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-05-31 1 1 6,4791 6,4791 6,4791 6,4791 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-01 1 1 6,5085 6,5085 6,5085 6,5085 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-02 1 1 6,5402 6,5402 6,5402 6,5402 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-03 1 1 6,534 6,534 6,534 6,534 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-07 1 1 6,5631 6,5631 6,5631 6,5631 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-08 1 1 6,5792 6,5792 6,5792 6,5792 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-09 1 1 6,5824 6,5824 6,5824 6,5824 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-10 1 1 6,6658 6,6658 6,6658 6,6658 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-13 1 1 6,7083 6,7083 6,7083 6,7083 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-14 1 1 6,7554 6,7554 6,7554 6,7554 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-15 1 1 6,738 6,738 6,738 6,738 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-16 1 1 6,7535 6,7535 6,7535 6,7535 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-17 1 1 6,754 6,754 6,754 6,754 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-20 1 1 6,7412 6,7412 6,7412 6,7412 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-21 1 1 6,7729 6,7729 6,7729 6,7729 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-22 1 1 6,8232 6,8232 6,8232 6,8232 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-23 1 1 6,895 6,895 6,895 6,895 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-27 1 1 6,7551 6,7551 6,7551 6,7551 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-28 1 1 6,8232 6,8232 6,8232 6,8232 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-29 1 1 6,8939 6,8939 6,8939 6,8939 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-06-30 1 1 6,9175 6,9175 6,9175 6,9175 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-01 1 1 6,9184 6,9184 6,9184 6,9184 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-04 1 1 6,9848 6,9848 6,9848 6,9848 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-05 1 1 6,9475 6,9475 6,9475 6,9475 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-06 1 1 6,9605 6,9605 6,9605 6,9605 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-07 1 1 6,8642 6,8642 6,8642 6,8642 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-08 1 1 6,9449 6,9449 6,9449 6,9449 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-11 1 1 7,0315 7,0315 7,0315 7,0315 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-12 1 1 6,9668 6,9668 6,9668 6,9668 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-13 1 1 6,9676 6,9676 6,9676 6,9676 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-14 1 1 7,0152 7,0152 7,0152 7,0152 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-15 1 1 6,9978 6,9978 6,9978 6,9978 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-18 1 1 6,9873 6,9873 6,9873 6,9873 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-19 1 1 7,0278 7,0278 7,0278 7,0278 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-20 1 1 7,0039 7,0039 7,0039 7,0039 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-21 1 1 7,0163 7,0163 7,0163 7,0163 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-22 1 1 7,0113 7,0113 7,0113 7,0113 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-25 1 1 7,027 7,027 7,027 7,027 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-26 1 1 7,0745 7,0745 7,0745 7,0745 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-27 1 1 7,0889 7,0889 7,0889 7,0889 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-28 1 1 7,0913 7,0913 7,0913 7,0913 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-07-29 1 1 7,1076 7,1076 7,1076 7,1076 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-01 1 1 7,0638 7,0638 7,0638 7,0638 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-02 1 1 7,0812 7,0812 7,0812 7,0812 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-03 1 1 7,0706 7,0706 7,0706 7,0706 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-04 1 1 7,0239 7,0239 7,0239 7,0239 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-05 1 1 6,9816 6,9816 6,9816 6,9816 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-08 1 1 6,9818 6,9818 6,9818 6,9818 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-09 1 1 7,005 7,005 7,005 7,005 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-10 1 1 7,072 7,072 7,072 7,072 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-11 1 1 7,0368 7,0368 7,0368 7,0368 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-12 1 1 7,041 7,041 7,041 7,041 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-15 1 1 7,0455 7,0455 7,0455 7,0455 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-16 1 1 7,0729 7,0729 7,0729 7,0729 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-17 1 1 7,0298 7,0298 7,0298 7,0298 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-18 1 1 7,0494 7,0494 7,0494 7,0494 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-19 1 1 7,1092 7,1092 7,1092 7,1092 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-22 1 1 7,1395 7,1395 7,1395 7,1395 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-23 1 1 7,0972 7,0972 7,0972 7,0972 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-24 1 1 7,0199 7,0199 7,0199 7,0199 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-25 1 1 6,9889 6,9889 6,9889 6,9889 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-26 1 1 6,9496 6,9496 6,9496 6,9496 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-29 1 1 6,9389 6,9389 6,9389 6,9389 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-30 1 1 7,0108 7,0108 7,0108 7,0108 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-08-31 1 1 7,011 7,011 7,011 7,011 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-01 1 1 7,0507 7,0507 7,0507 7,0507 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-02 1 1 6,9829 6,9829 6,9829 6,9829 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-05 1 1 7,0002 7,0002 7,0002 7,0002 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-06 1 1 7,0504 7,0504 7,0504 7,0504 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-07 1 1 7,097 7,097 7,097 7,097 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-08 1 1 7,0951 7,0951 7,0951 7,0951 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-09 1 1 7,1358 7,1358 7,1358 7,1358 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-12 1 1 7,189 7,189 7,189 7,189 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-13 1 1 7,1803 7,1803 7,1803 7,1803 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-14 1 1 7,1839 7,1839 7,1839 7,1839 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-15 1 1 7,2188 7,2188 7,2188 7,2188 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-16 1 1 7,2436 7,2436 7,2436 7,2436 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-19 1 1 7,2706 7,2706 7,2706 7,2706 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-20 1 1 7,273 7,273 7,273 7,273 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-21 1 1 7,1965 7,1965 7,1965 7,1965 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-22 1 1 7,1931 7,1931 7,1931 7,1931 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-23 1 1 7,2358 7,2358 7,2358 7,2358 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-26 1 1 7,3265 7,3265 7,3265 7,3265 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-27 1 1 7,3457 7,3457 7,3457 7,3457 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-28 1 1 7,3887 7,3887 7,3887 7,3887 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-29 1 1 7,3669 7,3669 7,3669 7,3669 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-09-30 1 1 7,3968 7,3968 7,3968 7,3968 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-03 1 1 7,4609 7,4609 7,4609 7,4609 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-04 1 1 7,4433 7,4433 7,4433 7,4433 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-05 1 1 7,3745 7,3745 7,3745 7,3745 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-06 1 1 7,1994 7,1994 7,1994 7,1994 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-07 1 1 7,2189 7,2189 7,2189 7,2189 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-10 1 1 7,236 7,236 7,236 7,236 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-11 1 1 7,2598 7,2598 7,2598 7,2598 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-12 1 1 7,234 7,234 7,234 7,234 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-13 1 1 7,1674 7,1674 7,1674 7,1674 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-14 1 1 7,1887 7,1887 7,1887 7,1887 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-17 1 1 7,2236 7,2236 7,2236 7,2236 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-18 1 1 7,2217 7,2217 7,2217 7,2217 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-19 1 1 7,1233 7,1233 7,1233 7,1233 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-20 1 1 7,2104 7,2104 7,2104 7,2104 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-21 1 1 7,1375 7,1375 7,1375 7,1375 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-24 1 1 7,2419 7,2419 7,2419 7,2419 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-25 1 1 7,2361 7,2361 7,2361 7,2361 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-26 1 1 7,2531 7,2531 7,2531 7,2531 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-27 1 1 7,198 7,198 7,198 7,198 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-28 1 1 7,1666 7,1666 7,1666 7,1666 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-10-31 1 1 7,3472 7,3472 7,3472 7,3472 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-01 1 1 7,3991 7,3991 7,3991 7,3991 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-02 1 1 7,4046 7,4046 7,4046 7,4046 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-03 1 1 7,534 7,534 7,534 7,534 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-04 1 1 7,5442 7,5442 7,5442 7,5442 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-07 1 1 7,6137 7,6137 7,6137 7,6137 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-08 1 1 7,5752 7,5752 7,5752 7,5752 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-09 1 1 7,6005 7,6005 7,6005 7,6005 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-10 1 1 7,6402 7,6402 7,6402 7,6402 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-11 1 1 7,6782 7,6782 7,6782 7,6782 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-14 1 1 7,6937 7,6937 7,6937 7,6937 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-15 1 1 7,7054 7,7054 7,7054 7,7054 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-16 1 1 7,7034 7,7034 7,7034 7,7034 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-17 1 1 7,7554 7,7554 7,7554 7,7554 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-18 1 1 7,7723 7,7723 7,7723 7,7723 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-21 1 1 7,729 7,729 7,729 7,729 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-22 1 1 7,7802 7,7802 7,7802 7,7802 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-23 1 1 7,7647 7,7647 7,7647 7,7647 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-24 1 1 7,7616 7,7616 7,7616 7,7616 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-25 1 1 7,7738 7,7738 7,7738 7,7738 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-28 1 1 7,7833 7,7833 7,7833 7,7833 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-29 1 1 7,7867 7,7867 7,7867 7,7867 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-11-30 1 1 7,7585 7,7585 7,7585 7,7585 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-01 1 1 7,8113 7,8113 7,8113 7,8113 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-02 1 1 7,8499 7,8499 7,8499 7,8499 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-05 1 1 7,8266 7,8266 7,8266 7,8266 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-06 1 1 7,806 7,806 7,806 7,806 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-07 1 1 7,8499 7,8499 7,8499 7,8499 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-08 1 1 7,8156 7,8156 7,8156 7,8156 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-12 1 1 7,8236 7,8236 7,8236 7,8236 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-13 1 1 7,8229 7,8229 7,8229 7,8229 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-14 1 1 7,8137 7,8137 7,8137 7,8137 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-15 1 1 7,7998 7,7998 7,7998 7,7998 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-16 1 1 7,8415 7,8415 7,8415 7,8415 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-19 1 1 7,8132 7,8132 7,8132 7,8132 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-20 1 1 7,8156 7,8156 7,8156 7,8156 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-21 1 1 7,8994 7,8994 7,8994 7,8994 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-22 1 1 7,9204 7,9204 7,9204 7,9204 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-23 1 1 7,9504 7,9504 7,9504 7,9504 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-27 1 1 7,9786 7,9786 7,9786 7,9786 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-28 1 1 7,8901 7,8901 7,8901 7,8901 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-29 1 1 7,9267 7,9267 7,9267 7,9267 901017 SEB Investment Management SEB Generationsfond 60-tal SEK 2005-12-30 1 1 7,8736 7,8736 7,8736 7,8736 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-03 1 1 5,8987 5,8987 5,8987 5,8987 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-04 1 1 5,9342 5,9342 5,9342 5,9342 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-05 1 1 5,8998 5,8998 5,8998 5,8998 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-07 1 1 5,9337 5,9337 5,9337 5,9337 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-10 1 1 5,9633 5,9633 5,9633 5,9633 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-11 1 1 5,9267 5,9267 5,9267 5,9267 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-12 1 1 5,8843 5,8843 5,8843 5,8843 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-13 1 1 5,896 5,896 5,896 5,896 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-14 1 1 5,9236 5,9236 5,9236 5,9236 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-17 1 1 5,9609 5,9609 5,9609 5,9609 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-18 1 1 5,9461 5,9461 5,9461 5,9461 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-19 1 1 5,9837 5,9837 5,9837 5,9837 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-20 1 1 5,9242 5,9242 5,9242 5,9242 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-21 1 1 5,9247 5,9247 5,9247 5,9247 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-24 1 1 5,8782 5,8782 5,8782 5,8782 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-25 1 1 5,9202 5,9202 5,9202 5,9202 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-26 1 1 5,9458 5,9458 5,9458 5,9458 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-27 1 1 5,9544 5,9544 5,9544 5,9544 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-28 1 1 5,9572 5,9572 5,9572 5,9572 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-01-31 1 1 5,997 5,997 5,997 5,997 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-01 1 1 6,0119 6,0119 6,0119 6,0119 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-02 1 1 6,0423 6,0423 6,0423 6,0423 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-03 1 1 6,0566 6,0566 6,0566 6,0566 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-04 1 1 6,0894 6,0894 6,0894 6,0894 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-07 1 1 6,1696 6,1696 6,1696 6,1696 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-08 1 1 6,1938 6,1938 6,1938 6,1938 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-09 1 1 6,1889 6,1889 6,1889 6,1889 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-10 1 1 6,1402 6,1402 6,1402 6,1402 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-11 1 1 6,1716 6,1716 6,1716 6,1716 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-14 1 1 6,184 6,184 6,184 6,184 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-15 1 1 6,1816 6,1816 6,1816 6,1816 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-16 1 1 6,1555 6,1555 6,1555 6,1555 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-17 1 1 6,1717 6,1717 6,1717 6,1717 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-18 1 1 6,1442 6,1442 6,1442 6,1442 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-21 1 1 6,1579 6,1579 6,1579 6,1579 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-22 1 1 6,0845 6,0845 6,0845 6,0845 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-23 1 1 6,0565 6,0565 6,0565 6,0565 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-24 1 1 6,0496 6,0496 6,0496 6,0496 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-25 1 1 6,1138 6,1138 6,1138 6,1138 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-02-28 1 1 6,1344 6,1344 6,1344 6,1344 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-01 1 1 6,1493 6,1493 6,1493 6,1493 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-02 1 1 6,1767 6,1767 6,1767 6,1767 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-03 1 1 6,1973 6,1973 6,1973 6,1973 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-04 1 1 6,1962 6,1962 6,1962 6,1962 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-07 1 1 6,2087 6,2087 6,2087 6,2087 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-08 1 1 6,1601 6,1601 6,1601 6,1601 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-09 1 1 6,1284 6,1284 6,1284 6,1284 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-10 1 1 6,0883 6,0883 6,0883 6,0883 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-11 1 1 6,0982 6,0982 6,0982 6,0982 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-14 1 1 6,0968 6,0968 6,0968 6,0968 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-15 1 1 6,1535 6,1535 6,1535 6,1535 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-16 1 1 6,0695 6,0695 6,0695 6,0695 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-17 1 1 6,0674 6,0674 6,0674 6,0674 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-18 1 1 6,1018 6,1018 6,1018 6,1018 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-21 1 1 6,122 6,122 6,122 6,122 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-22 1 1 6,1156 6,1156 6,1156 6,1156 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-23 1 1 6,0893 6,0893 6,0893 6,0893 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-24 1 1 6,112 6,112 6,112 6,112 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-29 1 1 6,1341 6,1341 6,1341 6,1341 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-30 1 1 6,1017 6,1017 6,1017 6,1017 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-03-31 1 1 6,1706 6,1706 6,1706 6,1706 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-01 1 1 6,1922 6,1922 6,1922 6,1922 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-04 1 1 6,1856 6,1856 6,1856 6,1856 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-05 1 1 6,2393 6,2393 6,2393 6,2393 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-06 1 1 6,2409 6,2409 6,2409 6,2409 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-07 1 1 6,2324 6,2324 6,2324 6,2324 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-08 1 1 6,2965 6,2965 6,2965 6,2965 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-11 1 1 6,2353 6,2353 6,2353 6,2353 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-12 1 1 6,2246 6,2246 6,2246 6,2246 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-13 1 1 6,2631 6,2631 6,2631 6,2631 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-14 1 1 6,2673 6,2673 6,2673 6,2673 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-15 1 1 6,1568 6,1568 6,1568 6,1568 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-18 1 1 6,0376 6,0376 6,0376 6,0376 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-19 1 1 6,0781 6,0781 6,0781 6,0781 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-20 1 1 6,0591 6,0591 6,0591 6,0591 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-21 1 1 6,0519 6,0519 6,0519 6,0519 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-22 1 1 6,0819 6,0819 6,0819 6,0819 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-25 1 1 6,0959 6,0959 6,0959 6,0959 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-26 1 1 6,075 6,075 6,075 6,075 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-27 1 1 5,9946 5,9946 5,9946 5,9946 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-28 1 1 6,0071 6,0071 6,0071 6,0071 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-04-29 1 1 6,0388 6,0388 6,0388 6,0388 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-02 1 1 6,1137 6,1137 6,1137 6,1137 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-03 1 1 6,1201 6,1201 6,1201 6,1201 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-04 1 1 6,1002 6,1002 6,1002 6,1002 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-06 1 1 6,1949 6,1949 6,1949 6,1949 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-09 1 1 6,1919 6,1919 6,1919 6,1919 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-10 1 1 6,1828 6,1828 6,1828 6,1828 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-11 1 1 6,1903 6,1903 6,1903 6,1903 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-12 1 1 6,2238 6,2238 6,2238 6,2238 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-13 1 1 6,2034 6,2034 6,2034 6,2034 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-16 1 1 6,2073 6,2073 6,2073 6,2073 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-17 1 1 6,2169 6,2169 6,2169 6,2169 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-18 1 1 6,2849 6,2849 6,2849 6,2849 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-19 1 1 6,325 6,325 6,325 6,325 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-20 1 1 6,3342 6,3342 6,3342 6,3342 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-23 1 1 6,3529 6,3529 6,3529 6,3529 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-24 1 1 6,356 6,356 6,356 6,356 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-25 1 1 6,3458 6,3458 6,3458 6,3458 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-26 1 1 6,397 6,397 6,397 6,397 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-27 1 1 6,4128 6,4128 6,4128 6,4128 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-30 1 1 6,4527 6,4527 6,4527 6,4527 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-05-31 1 1 6,4575 6,4575 6,4575 6,4575 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-01 1 1 6,4866 6,4866 6,4866 6,4866 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-02 1 1 6,518 6,518 6,518 6,518 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-03 1 1 6,5119 6,5119 6,5119 6,5119 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-07 1 1 6,5411 6,5411 6,5411 6,5411 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-08 1 1 6,5571 6,5571 6,5571 6,5571 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-09 1 1 6,5605 6,5605 6,5605 6,5605 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-10 1 1 6,6429 6,6429 6,6429 6,6429 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-13 1 1 6,6854 6,6854 6,6854 6,6854 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-14 1 1 6,7321 6,7321 6,7321 6,7321 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-15 1 1 6,7149 6,7149 6,7149 6,7149 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-16 1 1 6,7306 6,7306 6,7306 6,7306 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-17 1 1 6,7311 6,7311 6,7311 6,7311 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-20 1 1 6,7185 6,7185 6,7185 6,7185 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-21 1 1 6,7499 6,7499 6,7499 6,7499 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-22 1 1 6,7998 6,7998 6,7998 6,7998 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-23 1 1 6,8711 6,8711 6,8711 6,8711 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-27 1 1 6,732 6,732 6,732 6,732 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-28 1 1 6,7998 6,7998 6,7998 6,7998 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-29 1 1 6,8697 6,8697 6,8697 6,8697 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-06-30 1 1 6,8932 6,8932 6,8932 6,8932 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-01 1 1 6,8937 6,8937 6,8937 6,8937 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-04 1 1 6,9597 6,9597 6,9597 6,9597 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-05 1 1 6,9224 6,9224 6,9224 6,9224 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-06 1 1 6,9355 6,9355 6,9355 6,9355 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-07 1 1 6,8396 6,8396 6,8396 6,8396 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-08 1 1 6,9202 6,9202 6,9202 6,9202 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-11 1 1 7,0064 7,0064 7,0064 7,0064 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-12 1 1 6,942 6,942 6,942 6,942 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-13 1 1 6,9427 6,9427 6,9427 6,9427 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-14 1 1 6,9904 6,9904 6,9904 6,9904 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-15 1 1 6,9729 6,9729 6,9729 6,9729 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-18 1 1 6,9622 6,9622 6,9622 6,9622 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-19 1 1 7,0029 7,0029 7,0029 7,0029 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-20 1 1 6,979 6,979 6,979 6,979 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-21 1 1 6,9915 6,9915 6,9915 6,9915 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-22 1 1 6,9867 6,9867 6,9867 6,9867 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-25 1 1 7,0023 7,0023 7,0023 7,0023 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-26 1 1 7,0499 7,0499 7,0499 7,0499 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-27 1 1 7,0641 7,0641 7,0641 7,0641 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-28 1 1 7,0663 7,0663 7,0663 7,0663 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-07-29 1 1 7,0828 7,0828 7,0828 7,0828 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-01 1 1 7,0385 7,0385 7,0385 7,0385 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-02 1 1 7,0557 7,0557 7,0557 7,0557 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-03 1 1 7,0451 7,0451 7,0451 7,0451 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-04 1 1 6,9981 6,9981 6,9981 6,9981 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-05 1 1 6,954 6,954 6,954 6,954 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-08 1 1 6,9544 6,9544 6,9544 6,9544 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-09 1 1 6,9788 6,9788 6,9788 6,9788 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-10 1 1 7,0458 7,0458 7,0458 7,0458 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-11 1 1 7,0108 7,0108 7,0108 7,0108 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-12 1 1 7,0152 7,0152 7,0152 7,0152 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-15 1 1 7,0195 7,0195 7,0195 7,0195 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-16 1 1 7,0473 7,0473 7,0473 7,0473 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-17 1 1 7,0042 7,0042 7,0042 7,0042 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-18 1 1 7,0237 7,0237 7,0237 7,0237 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-19 1 1 7,0835 7,0835 7,0835 7,0835 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-22 1 1 7,114 7,114 7,114 7,114 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-23 1 1 7,0715 7,0715 7,0715 7,0715 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-24 1 1 6,9944 6,9944 6,9944 6,9944 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-25 1 1 6,9636 6,9636 6,9636 6,9636 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-26 1 1 6,9245 6,9245 6,9245 6,9245 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-29 1 1 6,9136 6,9136 6,9136 6,9136 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-30 1 1 6,9852 6,9852 6,9852 6,9852 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-08-31 1 1 6,9853 6,9853 6,9853 6,9853 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-01 1 1 7,0248 7,0248 7,0248 7,0248 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-02 1 1 6,9571 6,9571 6,9571 6,9571 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-05 1 1 6,9743 6,9743 6,9743 6,9743 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-06 1 1 7,0244 7,0244 7,0244 7,0244 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-07 1 1 7,0709 7,0709 7,0709 7,0709 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-08 1 1 7,0693 7,0693 7,0693 7,0693 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-09 1 1 7,1098 7,1098 7,1098 7,1098 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-12 1 1 7,1628 7,1628 7,1628 7,1628 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-13 1 1 7,1542 7,1542 7,1542 7,1542 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-14 1 1 7,1578 7,1578 7,1578 7,1578 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-15 1 1 7,1926 7,1926 7,1926 7,1926 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-16 1 1 7,2172 7,2172 7,2172 7,2172 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-19 1 1 7,2444 7,2444 7,2444 7,2444 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-20 1 1 7,2468 7,2468 7,2468 7,2468 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-21 1 1 7,1702 7,1702 7,1702 7,1702 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-22 1 1 7,167 7,167 7,167 7,167 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-23 1 1 7,2095 7,2095 7,2095 7,2095 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-26 1 1 7,2996 7,2996 7,2996 7,2996 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-27 1 1 7,3188 7,3188 7,3188 7,3188 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-28 1 1 7,3614 7,3614 7,3614 7,3614 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-29 1 1 7,3392 7,3392 7,3392 7,3392 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-09-30 1 1 7,3689 7,3689 7,3689 7,3689 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-03 1 1 7,433 7,433 7,433 7,433 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-04 1 1 7,4152 7,4152 7,4152 7,4152 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-05 1 1 7,3465 7,3465 7,3465 7,3465 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-06 1 1 7,1719 7,1719 7,1719 7,1719 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-07 1 1 7,1918 7,1918 7,1918 7,1918 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-10 1 1 7,2084 7,2084 7,2084 7,2084 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-11 1 1 7,2312 7,2312 7,2312 7,2312 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-12 1 1 7,2057 7,2057 7,2057 7,2057 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-13 1 1 7,1404 7,1404 7,1404 7,1404 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-14 1 1 7,1619 7,1619 7,1619 7,1619 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-17 1 1 7,1971 7,1971 7,1971 7,1971 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-18 1 1 7,1953 7,1953 7,1953 7,1953 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-19 1 1 7,0976 7,0976 7,0976 7,0976 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-20 1 1 7,1845 7,1845 7,1845 7,1845 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-21 1 1 7,1118 7,1118 7,1118 7,1118 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-24 1 1 7,2162 7,2162 7,2162 7,2162 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-25 1 1 7,2105 7,2105 7,2105 7,2105 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-26 1 1 7,2271 7,2271 7,2271 7,2271 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-27 1 1 7,1723 7,1723 7,1723 7,1723 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-28 1 1 7,141 7,141 7,141 7,141 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-10-31 1 1 7,3203 7,3203 7,3203 7,3203 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-01 1 1 7,3715 7,3715 7,3715 7,3715 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-02 1 1 7,3768 7,3768 7,3768 7,3768 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-03 1 1 7,5057 7,5057 7,5057 7,5057 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-04 1 1 7,5155 7,5155 7,5155 7,5155 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-07 1 1 7,5844 7,5844 7,5844 7,5844 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-08 1 1 7,5461 7,5461 7,5461 7,5461 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-09 1 1 7,5714 7,5714 7,5714 7,5714 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-10 1 1 7,6108 7,6108 7,6108 7,6108 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-11 1 1 7,6484 7,6484 7,6484 7,6484 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-14 1 1 7,6637 7,6637 7,6637 7,6637 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-15 1 1 7,6757 7,6757 7,6757 7,6757 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-16 1 1 7,6741 7,6741 7,6741 7,6741 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-17 1 1 7,726 7,726 7,726 7,726 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-18 1 1 7,7422 7,7422 7,7422 7,7422 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-21 1 1 7,6994 7,6994 7,6994 7,6994 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-22 1 1 7,7503 7,7503 7,7503 7,7503 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-23 1 1 7,7351 7,7351 7,7351 7,7351 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-24 1 1 7,7322 7,7322 7,7322 7,7322 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-25 1 1 7,7439 7,7439 7,7439 7,7439 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-28 1 1 7,7533 7,7533 7,7533 7,7533 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-29 1 1 7,7569 7,7569 7,7569 7,7569 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-11-30 1 1 7,7288 7,7288 7,7288 7,7288 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-01 1 1 7,7808 7,7808 7,7808 7,7808 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-02 1 1 7,8187 7,8187 7,8187 7,8187 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-05 1 1 7,7954 7,7954 7,7954 7,7954 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-06 1 1 7,775 7,775 7,775 7,775 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-07 1 1 7,8184 7,8184 7,8184 7,8184 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-08 1 1 7,7843 7,7843 7,7843 7,7843 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-12 1 1 7,792 7,792 7,792 7,792 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-13 1 1 7,7911 7,7911 7,7911 7,7911 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-14 1 1 7,7834 7,7834 7,7834 7,7834 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-15 1 1 7,7698 7,7698 7,7698 7,7698 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-16 1 1 7,8112 7,8112 7,8112 7,8112 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-19 1 1 7,7832 7,7832 7,7832 7,7832 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-20 1 1 7,7851 7,7851 7,7851 7,7851 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-21 1 1 7,8682 7,8682 7,8682 7,8682 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-22 1 1 7,8892 7,8892 7,8892 7,8892 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-23 1 1 7,919 7,919 7,919 7,919 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-27 1 1 7,9473 7,9473 7,9473 7,9473 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-28 1 1 7,8591 7,8591 7,8591 7,8591 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-29 1 1 7,8955 7,8955 7,8955 7,8955 829358 SEB Investment Management SEB Generationsfond 70-tal SEK 2005-12-30 1 1 7,8426 7,8426 7,8426 7,8426 520759 SEB Investment Management SEB Globalfond SEK 2005-02-11 1 1 5,8081 5,8081 5,8081 5,8081 520759 SEB Investment Management SEB Globalfond SEK 2005-02-14 1 1 5,8151 5,8151 5,8151 5,8151 520759 SEB Investment Management SEB Globalfond SEK 2005-02-15 1 1 5,8093 5,8093 5,8093 5,8093 520759 SEB Investment Management SEB Globalfond SEK 2005-02-16 1 1 5,795 5,795 5,795 5,795 520759 SEB Investment Management SEB Globalfond SEK 2005-02-17 1 1 5,8102 5,8102 5,8102 5,8102 520759 SEB Investment Management SEB Globalfond SEK 2005-02-18 1 1 5,7828 5,7828 5,7828 5,7828 520759 SEB Investment Management SEB Globalfond SEK 2005-02-21 1 1 5,7928 5,7928 5,7928 5,7928 520759 SEB Investment Management SEB Globalfond SEK 2005-02-22 1 1 5,7119 5,7119 5,7119 5,7119 520759 SEB Investment Management SEB Globalfond SEK 2005-02-23 1 1 5,673 5,673 5,673 5,673 520759 SEB Investment Management SEB Globalfond SEK 2005-02-24 1 1 5,6543 5,6543 5,6543 5,6543 520759 SEB Investment Management SEB Globalfond SEK 2005-02-25 1 1 5,7258 5,7258 5,7258 5,7258 520759 SEB Investment Management SEB Globalfond SEK 2005-02-28 1 1 5,7423 5,7423 5,7423 5,7423 520759 SEB Investment Management SEB Globalfond SEK 2005-03-01 1 1 5,7545 5,7545 5,7545 5,7545 520759 SEB Investment Management SEB Globalfond SEK 2005-03-02 1 1 5,7915 5,7915 5,7915 5,7915 520759 SEB Investment Management SEB Globalfond SEK 2005-03-03 1 1 5,796 5,796 5,796 5,796 520759 SEB Investment Management SEB Globalfond SEK 2005-03-04 1 1 5,7847 5,7847 5,7847 5,7847 520759 SEB Investment Management SEB Globalfond SEK 2005-03-07 1 1 5,8029 5,8029 5,8029 5,8029 520759 SEB Investment Management SEB Globalfond SEK 2005-03-08 1 1 5,755 5,755 5,755 5,755 520759 SEB Investment Management SEB Globalfond SEK 2005-03-09 1 1 5,7203 5,7203 5,7203 5,7203 520759 SEB Investment Management SEB Globalfond SEK 2005-03-10 1 1 5,6844 5,6844 5,6844 5,6844 520759 SEB Investment Management SEB Globalfond SEK 2005-03-11 1 1 5,6863 5,6863 5,6863 5,6863 520759 SEB Investment Management SEB Globalfond SEK 2005-03-14 1 1 5,6889 5,6889 5,6889 5,6889 520759 SEB Investment Management SEB Globalfond SEK 2005-03-15 1 1 5,7513 5,7513 5,7513 5,7513 520759 SEB Investment Management SEB Globalfond SEK 2005-03-16 1 1 5,6618 5,6618 5,6618 5,6618 520759 SEB Investment Management SEB Globalfond SEK 2005-03-17 1 1 5,6664 5,6664 5,6664 5,6664 520759 SEB Investment Management SEB Globalfond SEK 2005-03-18 1 1 5,7051 5,7051 5,7051 5,7051 520759 SEB Investment Management SEB Globalfond SEK 2005-03-21 1 1 5,7388 5,7388 5,7388 5,7388 520759 SEB Investment Management SEB Globalfond SEK 2005-03-22 1 1 5,7251 5,7251 5,7251 5,7251 520759 SEB Investment Management SEB Globalfond SEK 2005-03-23 1 1 5,6997 5,6997 5,6997 5,6997 520759 SEB Investment Management SEB Globalfond SEK 2005-03-24 1 1 5,709 5,709 5,709 5,709 520759 SEB Investment Management SEB Globalfond SEK 2005-03-29 1 1 5,7464 5,7464 5,7464 5,7464 520759 SEB Investment Management SEB Globalfond SEK 2005-03-30 1 1 5,7043 5,7043 5,7043 5,7043 520759 SEB Investment Management SEB Globalfond SEK 2005-03-31 1 1 5,7772 5,7772 5,7772 5,7772 520759 SEB Investment Management SEB Globalfond SEK 2005-04-01 1 1 5,7872 5,7872 5,7872 5,7872 520759 SEB Investment Management SEB Globalfond SEK 2005-04-04 1 1 5,7949 5,7949 5,7949 5,7949 520759 SEB Investment Management SEB Globalfond SEK 2005-04-05 1 1 5,8414 5,8414 5,8414 5,8414 520759 SEB Investment Management SEB Globalfond SEK 2005-04-06 1 1 5,832 5,832 5,832 5,832 520759 SEB Investment Management SEB Globalfond SEK 2005-04-07 1 1 5,8174 5,8174 5,8174 5,8174 520759 SEB Investment Management SEB Globalfond SEK 2005-04-08 1 1 5,8863 5,8863 5,8863 5,8863 520759 SEB Investment Management SEB Globalfond SEK 2005-04-11 1 1 5,8022 5,8022 5,8022 5,8022 520759 SEB Investment Management SEB Globalfond SEK 2005-04-12 1 1 5,789 5,789 5,789 5,789 520759 SEB Investment Management SEB Globalfond SEK 2005-04-13 1 1 5,8289 5,8289 5,8289 5,8289 520759 SEB Investment Management SEB Globalfond SEK 2005-04-14 1 1 5,8246 5,8246 5,8246 5,8246 520759 SEB Investment Management SEB Globalfond SEK 2005-04-15 1 1 5,7158 5,7158 5,7158 5,7158 520759 SEB Investment Management SEB Globalfond SEK 2005-04-18 1 1 5,5912 5,5912 5,5912 5,5912 520759 SEB Investment Management SEB Globalfond SEK 2005-04-19 1 1 5,6352 5,6352 5,6352 5,6352 520759 SEB Investment Management SEB Globalfond SEK 2005-04-20 1 1 5,6135 5,6135 5,6135 5,6135 520759 SEB Investment Management SEB Globalfond SEK 2005-04-21 1 1 5,6044 5,6044 5,6044 5,6044 520759 SEB Investment Management SEB Globalfond SEK 2005-04-22 1 1 5,6223 5,6223 5,6223 5,6223 520759 SEB Investment Management SEB Globalfond SEK 2005-04-25 1 1 5,6399 5,6399 5,6399 5,6399 520759 SEB Investment Management SEB Globalfond SEK 2005-04-26 1 1 5,636 5,636 5,636 5,636 520759 SEB Investment Management SEB Globalfond SEK 2005-04-27 1 1 5,5747 5,5747 5,5747 5,5747 520759 SEB Investment Management SEB Globalfond SEK 2005-04-28 1 1 5,6033 5,6033 5,6033 5,6033 520759 SEB Investment Management SEB Globalfond SEK 2005-04-29 1 1 5,6294 5,6294 5,6294 5,6294 520759 SEB Investment Management SEB Globalfond SEK 2005-05-02 1 1 5,706 5,706 5,706 5,706 520759 SEB Investment Management SEB Globalfond SEK 2005-05-03 1 1 5,7187 5,7187 5,7187 5,7187 520759 SEB Investment Management SEB Globalfond SEK 2005-05-04 1 1 5,6848 5,6848 5,6848 5,6848 520759 SEB Investment Management SEB Globalfond SEK 2005-05-06 1 1 5,7919 5,7919 5,7919 5,7919 520759 SEB Investment Management SEB Globalfond SEK 2005-05-09 1 1 5,786 5,786 5,786 5,786 520759 SEB Investment Management SEB Globalfond SEK 2005-05-10 1 1 5,7842 5,7842 5,7842 5,7842 520759 SEB Investment Management SEB Globalfond SEK 2005-05-11 1 1 5,7952 5,7952 5,7952 5,7952 520759 SEB Investment Management SEB Globalfond SEK 2005-05-12 1 1 5,8245 5,8245 5,8245 5,8245 520759 SEB Investment Management SEB Globalfond SEK 2005-05-13 1 1 5,7745 5,7745 5,7745 5,7745 520759 SEB Investment Management SEB Globalfond SEK 2005-05-16 1 1 5,7969 5,7969 5,7969 5,7969 520759 SEB Investment Management SEB Globalfond SEK 2005-05-17 1 1 5,8027 5,8027 5,8027 5,8027 520759 SEB Investment Management SEB Globalfond SEK 2005-05-18 1 1 5,874 5,874 5,874 5,874 520759 SEB Investment Management SEB Globalfond SEK 2005-05-19 1 1 5,9235 5,9235 5,9235 5,9235 520759 SEB Investment Management SEB Globalfond SEK 2005-05-20 1 1 5,9287 5,9287 5,9287 5,9287 520759 SEB Investment Management SEB Globalfond SEK 2005-05-23 1 1 5,9559 5,9559 5,9559 5,9559 520759 SEB Investment Management SEB Globalfond SEK 2005-05-24 1 1 5,9605 5,9605 5,9605 5,9605 520759 SEB Investment Management SEB Globalfond SEK 2005-05-25 1 1 5,9445 5,9445 5,9445 5,9445 520759 SEB Investment Management SEB Globalfond SEK 2005-05-26 1 1 5,9955 5,9955 5,9955 5,9955 520759 SEB Investment Management SEB Globalfond SEK 2005-05-27 1 1 6,0124 6,0124 6,0124 6,0124 520759 SEB Investment Management SEB Globalfond SEK 2005-05-30 1 1 6,0571 6,0571 6,0571 6,0571 520759 SEB Investment Management SEB Globalfond SEK 2005-05-31 1 1 6,0615 6,0615 6,0615 6,0615 520759 SEB Investment Management SEB Globalfond SEK 2005-06-01 1 1 6,0981 6,0981 6,0981 6,0981 520759 SEB Investment Management SEB Globalfond SEK 2005-06-02 1 1 6,148 6,148 6,148 6,148 520759 SEB Investment Management SEB Globalfond SEK 2005-06-03 1 1 6,1462 6,1462 6,1462 6,1462 520759 SEB Investment Management SEB Globalfond SEK 2005-06-07 1 1 6,1706 6,1706 6,1706 6,1706 520759 SEB Investment Management SEB Globalfond SEK 2005-06-08 1 1 6,1814 6,1814 6,1814 6,1814 520759 SEB Investment Management SEB Globalfond SEK 2005-06-09 1 1 6,1855 6,1855 6,1855 6,1855 520759 SEB Investment Management SEB Globalfond SEK 2005-06-10 1 1 6,2809 6,2809 6,2809 6,2809 520759 SEB Investment Management SEB Globalfond SEK 2005-06-13 1 1 6,3334 6,3334 6,3334 6,3334 520759 SEB Investment Management SEB Globalfond SEK 2005-06-14 1 1 6,3676 6,3676 6,3676 6,3676 520759 SEB Investment Management SEB Globalfond SEK 2005-06-15 1 1 6,3527 6,3527 6,3527 6,3527 520759 SEB Investment Management SEB Globalfond SEK 2005-06-16 1 1 6,3699 6,3699 6,3699 6,3699 520759 SEB Investment Management SEB Globalfond SEK 2005-06-17 1 1 6,3652 6,3652 6,3652 6,3652 520759 SEB Investment Management SEB Globalfond SEK 2005-06-20 1 1 6,3504 6,3504 6,3504 6,3504 520759 SEB Investment Management SEB Globalfond SEK 2005-06-21 1 1 6,3776 6,3776 6,3776 6,3776 520759 SEB Investment Management SEB Globalfond SEK 2005-06-22 1 1 6,4291 6,4291 6,4291 6,4291 520759 SEB Investment Management SEB Globalfond SEK 2005-06-23 1 1 6,5063 6,5063 6,5063 6,5063 520759 SEB Investment Management SEB Globalfond SEK 2005-06-27 1 1 6,3651 6,3651 6,3651 6,3651 520759 SEB Investment Management SEB Globalfond SEK 2005-06-28 1 1 6,4406 6,4406 6,4406 6,4406 520759 SEB Investment Management SEB Globalfond SEK 2005-06-29 1 1 6,517 6,517 6,517 6,517 520759 SEB Investment Management SEB Globalfond SEK 2005-06-30 1 1 6,5355 6,5355 6,5355 6,5355 520759 SEB Investment Management SEB Globalfond SEK 2005-07-01 1 1 6,5283 6,5283 6,5283 6,5283 520759 SEB Investment Management SEB Globalfond SEK 2005-07-04 1 1 6,5975 6,5975 6,5975 6,5975 520759 SEB Investment Management SEB Globalfond SEK 2005-07-05 1 1 6,556 6,556 6,556 6,556 520759 SEB Investment Management SEB Globalfond SEK 2005-07-06 1 1 6,5697 6,5697 6,5697 6,5697 520759 SEB Investment Management SEB Globalfond SEK 2005-07-07 1 1 6,4885 6,4885 6,4885 6,4885 520759 SEB Investment Management SEB Globalfond SEK 2005-07-08 1 1 6,557 6,557 6,557 6,557 520759 SEB Investment Management SEB Globalfond SEK 2005-07-11 1 1 6,6363 6,6363 6,6363 6,6363 520759 SEB Investment Management SEB Globalfond SEK 2005-07-12 1 1 6,5513 6,5513 6,5513 6,5513 520759 SEB Investment Management SEB Globalfond SEK 2005-07-13 1 1 6,5403 6,5403 6,5403 6,5403 520759 SEB Investment Management SEB Globalfond SEK 2005-07-14 1 1 6,5954 6,5954 6,5954 6,5954 520759 SEB Investment Management SEB Globalfond SEK 2005-07-15 1 1 6,5744 6,5744 6,5744 6,5744 520759 SEB Investment Management SEB Globalfond SEK 2005-07-18 1 1 6,558 6,558 6,558 6,558 520759 SEB Investment Management SEB Globalfond SEK 2005-07-19 1 1 6,6046 6,6046 6,6046 6,6046 520759 SEB Investment Management SEB Globalfond SEK 2005-07-20 1 1 6,5894 6,5894 6,5894 6,5894 520759 SEB Investment Management SEB Globalfond SEK 2005-07-21 1 1 6,5894 6,5894 6,5894 6,5894 520759 SEB Investment Management SEB Globalfond SEK 2005-07-22 1 1 6,5743 6,5743 6,5743 6,5743 520759 SEB Investment Management SEB Globalfond SEK 2005-07-25 1 1 6,6058 6,6058 6,6058 6,6058 520759 SEB Investment Management SEB Globalfond SEK 2005-07-26 1 1 6,6444 6,6444 6,6444 6,6444 520759 SEB Investment Management SEB Globalfond SEK 2005-07-27 1 1 6,6557 6,6557 6,6557 6,6557 520759 SEB Investment Management SEB Globalfond SEK 2005-07-28 1 1 6,6432 6,6432 6,6432 6,6432 520759 SEB Investment Management SEB Globalfond SEK 2005-07-29 1 1 6,6646 6,6646 6,6646 6,6646 520759 SEB Investment Management SEB Globalfond SEK 2005-08-01 1 1 6,6123 6,6123 6,6123 6,6123 520759 SEB Investment Management SEB Globalfond SEK 2005-08-02 1 1 6,6174 6,6174 6,6174 6,6174 520759 SEB Investment Management SEB Globalfond SEK 2005-08-03 1 1 6,6283 6,6283 6,6283 6,6283 520759 SEB Investment Management SEB Globalfond SEK 2005-08-04 1 1 6,5745 6,5745 6,5745 6,5745 520759 SEB Investment Management SEB Globalfond SEK 2005-08-05 1 1 6,5263 6,5263 6,5263 6,5263 520759 SEB Investment Management SEB Globalfond SEK 2005-08-08 1 1 6,5269 6,5269 6,5269 6,5269 520759 SEB Investment Management SEB Globalfond SEK 2005-08-09 1 1 6,5512 6,5512 6,5512 6,5512 520759 SEB Investment Management SEB Globalfond SEK 2005-08-10 1 1 6,6015 6,6015 6,6015 6,6015 520759 SEB Investment Management SEB Globalfond SEK 2005-08-11 1 1 6,5639 6,5639 6,5639 6,5639 520759 SEB Investment Management SEB Globalfond SEK 2005-08-12 1 1 6,5764 6,5764 6,5764 6,5764 520759 SEB Investment Management SEB Globalfond SEK 2005-08-15 1 1 6,5859 6,5859 6,5859 6,5859 520759 SEB Investment Management SEB Globalfond SEK 2005-08-16 1 1 6,6176 6,6176 6,6176 6,6176 520759 SEB Investment Management SEB Globalfond SEK 2005-08-17 1 1 6,5814 6,5814 6,5814 6,5814 520759 SEB Investment Management SEB Globalfond SEK 2005-08-18 1 1 6,599 6,599 6,599 6,599 520759 SEB Investment Management SEB Globalfond SEK 2005-08-19 1 1 6,6546 6,6546 6,6546 6,6546 520759 SEB Investment Management SEB Globalfond SEK 2005-08-22 1 1 6,6932 6,6932 6,6932 6,6932 520759 SEB Investment Management SEB Globalfond SEK 2005-08-23 1 1 6,6563 6,6563 6,6563 6,6563 520759 SEB Investment Management SEB Globalfond SEK 2005-08-24 1 1 6,5906 6,5906 6,5906 6,5906 520759 SEB Investment Management SEB Globalfond SEK 2005-08-25 1 1 6,574 6,574 6,574 6,574 520759 SEB Investment Management SEB Globalfond SEK 2005-08-26 1 1 6,5421 6,5421 6,5421 6,5421 520759 SEB Investment Management SEB Globalfond SEK 2005-08-29 1 1 6,5171 6,5171 6,5171 6,5171 520759 SEB Investment Management SEB Globalfond SEK 2005-08-30 1 1 6,6037 6,6037 6,6037 6,6037 520759 SEB Investment Management SEB Globalfond SEK 2005-08-31 1 1 6,6 6,6 6,6 6,6 520759 SEB Investment Management SEB Globalfond SEK 2005-09-01 1 1 6,6316 6,6316 6,6316 6,6316 520759 SEB Investment Management SEB Globalfond SEK 2005-09-02 1 1 6,5488 6,5488 6,5488 6,5488 520759 SEB Investment Management SEB Globalfond SEK 2005-09-05 1 1 6,551 6,551 6,551 6,551 520759 SEB Investment Management SEB Globalfond SEK 2005-09-06 1 1 6,6036 6,6036 6,6036 6,6036 520759 SEB Investment Management SEB Globalfond SEK 2005-09-07 1 1 6,6562 6,6562 6,6562 6,6562 520759 SEB Investment Management SEB Globalfond SEK 2005-09-08 1 1 6,6636 6,6636 6,6636 6,6636 520759 SEB Investment Management SEB Globalfond SEK 2005-09-09 1 1 6,7037 6,7037 6,7037 6,7037 520759 SEB Investment Management SEB Globalfond SEK 2005-09-12 1 1 6,7581 6,7581 6,7581 6,7581 520759 SEB Investment Management SEB Globalfond SEK 2005-09-13 1 1 6,7502 6,7502 6,7502 6,7502 520759 SEB Investment Management SEB Globalfond SEK 2005-09-14 1 1 6,7438 6,7438 6,7438 6,7438 520759 SEB Investment Management SEB Globalfond SEK 2005-09-15 1 1 6,7955 6,7955 6,7955 6,7955 520759 SEB Investment Management SEB Globalfond SEK 2005-09-16 1 1 6,822 6,822 6,822 6,822 520759 SEB Investment Management SEB Globalfond SEK 2005-09-19 1 1 6,8555 6,8555 6,8555 6,8555 520759 SEB Investment Management SEB Globalfond SEK 2005-09-20 1 1 6,866 6,866 6,866 6,866 520759 SEB Investment Management SEB Globalfond SEK 2005-09-21 1 1 6,7876 6,7876 6,7876 6,7876 520759 SEB Investment Management SEB Globalfond SEK 2005-09-22 1 1 6,7817 6,7817 6,7817 6,7817 520759 SEB Investment Management SEB Globalfond SEK 2005-09-23 1 1 6,8309 6,8309 6,8309 6,8309 520759 SEB Investment Management SEB Globalfond SEK 2005-09-26 1 1 6,9167 6,9167 6,9167 6,9167 520759 SEB Investment Management SEB Globalfond SEK 2005-09-27 1 1 6,9334 6,9334 6,9334 6,9334 520759 SEB Investment Management SEB Globalfond SEK 2005-09-28 1 1 6,9717 6,9717 6,9717 6,9717 520759 SEB Investment Management SEB Globalfond SEK 2005-09-29 1 1 6,9448 6,9448 6,9448 6,9448 520759 SEB Investment Management SEB Globalfond SEK 2005-09-30 1 1 6,9623 6,9623 6,9623 6,9623 520759 SEB Investment Management SEB Globalfond SEK 2005-10-03 1 1 7,0341 7,0341 7,0341 7,0341 520759 SEB Investment Management SEB Globalfond SEK 2005-10-04 1 1 7,0126 7,0126 7,0126 7,0126 520759 SEB Investment Management SEB Globalfond SEK 2005-10-05 1 1 6,9431 6,9431 6,9431 6,9431 520759 SEB Investment Management SEB Globalfond SEK 2005-10-06 1 1 6,741 6,741 6,741 6,741 520759 SEB Investment Management SEB Globalfond SEK 2005-10-07 1 1 6,7644 6,7644 6,7644 6,7644 520759 SEB Investment Management SEB Globalfond SEK 2005-10-10 1 1 6,779 6,779 6,779 6,779 520759 SEB Investment Management SEB Globalfond SEK 2005-10-11 1 1 6,8004 6,8004 6,8004 6,8004 520759 SEB Investment Management SEB Globalfond SEK 2005-10-12 1 1 6,784 6,784 6,784 6,784 520759 SEB Investment Management SEB Globalfond SEK 2005-10-13 1 1 6,7309 6,7309 6,7309 6,7309 520759 SEB Investment Management SEB Globalfond SEK 2005-10-14 1 1 6,7556 6,7556 6,7556 6,7556 520759 SEB Investment Management SEB Globalfond SEK 2005-10-17 1 1 6,8003 6,8003 6,8003 6,8003 520759 SEB Investment Management SEB Globalfond SEK 2005-10-18 1 1 6,8085 6,8085 6,8085 6,8085 520759 SEB Investment Management SEB Globalfond SEK 2005-10-19 1 1 6,7175 6,7175 6,7175 6,7175 520759 SEB Investment Management SEB Globalfond SEK 2005-10-20 1 1 6,8133 6,8133 6,8133 6,8133 520759 SEB Investment Management SEB Globalfond SEK 2005-10-21 1 1 6,7426 6,7426 6,7426 6,7426 520759 SEB Investment Management SEB Globalfond SEK 2005-10-24 1 1 6,8423 6,8423 6,8423 6,8423 520759 SEB Investment Management SEB Globalfond SEK 2005-10-25 1 1 6,8138 6,8138 6,8138 6,8138 520759 SEB Investment Management SEB Globalfond SEK 2005-10-26 1 1 6,8292 6,8292 6,8292 6,8292 520759 SEB Investment Management SEB Globalfond SEK 2005-10-27 1 1 6,7762 6,7762 6,7762 6,7762 520759 SEB Investment Management SEB Globalfond SEK 2005-10-28 1 1 6,7523 6,7523 6,7523 6,7523 520759 SEB Investment Management SEB Globalfond SEK 2005-10-31 1 1 6,9216 6,9216 6,9216 6,9216 520759 SEB Investment Management SEB Globalfond SEK 2005-11-01 1 1 6,9754 6,9754 6,9754 6,9754 520759 SEB Investment Management SEB Globalfond SEK 2005-11-02 1 1 6,9811 6,9811 6,9811 6,9811 520759 SEB Investment Management SEB Globalfond SEK 2005-11-03 1 1 7,119 7,119 7,119 7,119 520759 SEB Investment Management SEB Globalfond SEK 2005-11-04 1 1 7,1312 7,1312 7,1312 7,1312 520759 SEB Investment Management SEB Globalfond SEK 2005-11-07 1 1 7,2019 7,2019 7,2019 7,2019 520759 SEB Investment Management SEB Globalfond SEK 2005-11-08 1 1 7,1596 7,1596 7,1596 7,1596 520759 SEB Investment Management SEB Globalfond SEK 2005-11-09 1 1 7,1887 7,1887 7,1887 7,1887 520759 SEB Investment Management SEB Globalfond SEK 2005-11-10 1 1 7,234 7,234 7,234 7,234 520759 SEB Investment Management SEB Globalfond SEK 2005-11-11 1 1 7,2551 7,2551 7,2551 7,2551 520759 SEB Investment Management SEB Globalfond SEK 2005-11-14 1 1 7,2672 7,2672 7,2672 7,2672 520759 SEB Investment Management SEB Globalfond SEK 2005-11-15 1 1 7,2911 7,2911 7,2911 7,2911 520759 SEB Investment Management SEB Globalfond SEK 2005-11-16 1 1 7,2852 7,2852 7,2852 7,2852 520759 SEB Investment Management SEB Globalfond SEK 2005-11-17 1 1 7,3395 7,3395 7,3395 7,3395 520759 SEB Investment Management SEB Globalfond SEK 2005-11-18 1 1 7,3495 7,3495 7,3495 7,3495 520759 SEB Investment Management SEB Globalfond SEK 2005-11-21 1 1 7,294 7,294 7,294 7,294 520759 SEB Investment Management SEB Globalfond SEK 2005-11-22 1 1 7,3641 7,3641 7,3641 7,3641 520759 SEB Investment Management SEB Globalfond SEK 2005-11-23 1 1 7,3365 7,3365 7,3365 7,3365 520759 SEB Investment Management SEB Globalfond SEK 2005-11-24 1 1 7,3414 7,3414 7,3414 7,3414 520759 SEB Investment Management SEB Globalfond SEK 2005-11-25 1 1 7,3451 7,3451 7,3451 7,3451 520759 SEB Investment Management SEB Globalfond SEK 2005-11-28 1 1 7,3489 7,3489 7,3489 7,3489 520759 SEB Investment Management SEB Globalfond SEK 2005-11-29 1 1 7,353 7,353 7,353 7,353 520759 SEB Investment Management SEB Globalfond SEK 2005-11-30 1 1 7,3373 7,3373 7,3373 7,3373 520759 SEB Investment Management SEB Globalfond SEK 2005-12-01 1 1 7,3782 7,3782 7,3782 7,3782 520759 SEB Investment Management SEB Globalfond SEK 2005-12-02 1 1 7,3466 7,3466 7,3466 7,3466 520759 SEB Investment Management SEB Globalfond SEK 2005-12-05 1 1 7,3227 7,3227 7,3227 7,3227 520759 SEB Investment Management SEB Globalfond SEK 2005-12-06 1 1 7,2846 7,2846 7,2846 7,2846 520759 SEB Investment Management SEB Globalfond SEK 2005-12-07 1 1 7,3329 7,3329 7,3329 7,3329 520759 SEB Investment Management SEB Globalfond SEK 2005-12-08 1 1 7,2868 7,2868 7,2868 7,2868 520759 SEB Investment Management SEB Globalfond SEK 2005-12-12 1 1 7,2874 7,2874 7,2874 7,2874 520759 SEB Investment Management SEB Globalfond SEK 2005-12-13 1 1 7,2905 7,2905 7,2905 7,2905 520759 SEB Investment Management SEB Globalfond SEK 2005-12-14 1 1 7,2812 7,2812 7,2812 7,2812 520759 SEB Investment Management SEB Globalfond SEK 2005-12-15 1 1 7,2679 7,2679 7,2679 7,2679 520759 SEB Investment Management SEB Globalfond SEK 2005-12-16 1 1 7,305 7,305 7,305 7,305 520759 SEB Investment Management SEB Globalfond SEK 2005-12-19 1 1 7,2623 7,2623 7,2623 7,2623 520759 SEB Investment Management SEB Globalfond SEK 2005-12-20 1 1 7,267 7,267 7,267 7,267 520759 SEB Investment Management SEB Globalfond SEK 2005-12-21 1 1 7,3554 7,3554 7,3554 7,3554 520759 SEB Investment Management SEB Globalfond SEK 2005-12-22 1 1 7,377 7,377 7,377 7,377 520759 SEB Investment Management SEB Globalfond SEK 2005-12-23 1 1 7,3943 7,3943 7,3943 7,3943 520759 SEB Investment Management SEB Globalfond SEK 2005-12-27 1 1 7,4131 7,4131 7,4131 7,4131 520759 SEB Investment Management SEB Globalfond SEK 2005-12-28 1 1 7,3085 7,3085 7,3085 7,3085 520759 SEB Investment Management SEB Globalfond SEK 2005-12-29 1 1 7,345 7,345 7,345 7,345 520759 SEB Investment Management SEB Globalfond SEK 2005-12-30 1 1 7,2923 7,2923 7,2923 7,2923 265751 SEB Investment Management SEB Internetfond SEK 2005-01-03 1 1 5,0799 5,0799 5,0799 5,0799 265751 SEB Investment Management SEB Internetfond SEK 2005-01-04 1 1 4,9842 4,9842 4,9842 4,9842 265751 SEB Investment Management SEB Internetfond SEK 2005-01-05 1 1 4,8776 4,8776 4,8776 4,8776 265751 SEB Investment Management SEB Internetfond SEK 2005-01-07 1 1 4,7939 4,7939 4,7939 4,7939 265751 SEB Investment Management SEB Internetfond SEK 2005-01-10 1 1 4,8047 4,8047 4,8047 4,8047 265751 SEB Investment Management SEB Internetfond SEK 2005-01-11 1 1 4,6999 4,6999 4,6999 4,6999 265751 SEB Investment Management SEB Internetfond SEK 2005-01-12 1 1 4,6348 4,6348 4,6348 4,6348 265751 SEB Investment Management SEB Internetfond SEK 2005-01-13 1 1 4,6662 4,6662 4,6662 4,6662 265751 SEB Investment Management SEB Internetfond SEK 2005-01-14 1 1 4,7026 4,7026 4,7026 4,7026 265751 SEB Investment Management SEB Internetfond SEK 2005-01-17 1 1 4,7257 4,7257 4,7257 4,7257 265751 SEB Investment Management SEB Internetfond SEK 2005-01-18 1 1 4,7509 4,7509 4,7509 4,7509 265751 SEB Investment Management SEB Internetfond SEK 2005-01-19 1 1 4,7625 4,7625 4,7625 4,7625 265751 SEB Investment Management SEB Internetfond SEK 2005-01-20 1 1 4,6801 4,6801 4,6801 4,6801 265751 SEB Investment Management SEB Internetfond SEK 2005-01-21 1 1 4,7058 4,7058 4,7058 4,7058 265751 SEB Investment Management SEB Internetfond SEK 2005-01-24 1 1 4,6194 4,6194 4,6194 4,6194 265751 SEB Investment Management SEB Internetfond SEK 2005-01-25 1 1 4,6435 4,6435 4,6435 4,6435 265751 SEB Investment Management SEB Internetfond SEK 2005-01-26 1 1 4,6282 4,6282 4,6282 4,6282 265751 SEB Investment Management SEB Internetfond SEK 2005-01-27 1 1 4,6683 4,6683 4,6683 4,6683 265751 SEB Investment Management SEB Internetfond SEK 2005-01-28 1 1 4,6697 4,6697 4,6697 4,6697 265751 SEB Investment Management SEB Internetfond SEK 2005-01-31 1 1 4,6868 4,6868 4,6868 4,6868 265751 SEB Investment Management SEB Internetfond SEK 2005-02-01 1 1 4,6499 4,6499 4,6499 4,6499 265751 SEB Investment Management SEB Internetfond SEK 2005-02-02 1 1 4,6745 4,6745 4,6745 4,6745 265751 SEB Investment Management SEB Internetfond SEK 2005-02-03 1 1 4,7188 4,7188 4,7188 4,7188 265751 SEB Investment Management SEB Internetfond SEK 2005-02-04 1 1 4,7294 4,7294 4,7294 4,7294 265751 SEB Investment Management SEB Internetfond SEK 2005-02-07 1 1 4,8546 4,8546 4,8546 4,8546 265751 SEB Investment Management SEB Internetfond SEK 2005-02-08 1 1 4,8311 4,8311 4,8311 4,8311 265751 SEB Investment Management SEB Internetfond SEK 2005-02-09 1 1 4,8302 4,8302 4,8302 4,8302 265751 SEB Investment Management SEB Internetfond SEK 2005-02-10 1 1 4,7057 4,7057 4,7057 4,7057 265751 SEB Investment Management SEB Internetfond SEK 2005-02-11 1 1 4,686 4,686 4,686 4,686 265751 SEB Investment Management SEB Internetfond SEK 2005-02-14 1 1 4,71 4,71 4,71 4,71 265751 SEB Investment Management SEB Internetfond SEK 2005-02-15 1 1 4,7075 4,7075 4,7075 4,7075 265751 SEB Investment Management SEB Internetfond SEK 2005-02-16 1 1 4,7276 4,7276 4,7276 4,7276 265751 SEB Investment Management SEB Internetfond SEK 2005-02-17 1 1 4,7092 4,7092 4,7092 4,7092 265751 SEB Investment Management SEB Internetfond SEK 2005-02-18 1 1 4,6282 4,6282 4,6282 4,6282 265751 SEB Investment Management SEB Internetfond SEK 2005-02-21 1 1 4,6066 4,6066 4,6066 4,6066 265751 SEB Investment Management SEB Internetfond SEK 2005-02-22 1 1 4,5238 4,5238 4,5238 4,5238 265751 SEB Investment Management SEB Internetfond SEK 2005-02-23 1 1 4,4464 4,4464 4,4464 4,4464 265751 SEB Investment Management SEB Internetfond SEK 2005-02-24 1 1 4,355 4,355 4,355 4,355 265751 SEB Investment Management SEB Internetfond SEK 2005-02-25 1 1 4,4451 4,4451 4,4451 4,4451 265751 SEB Investment Management SEB Internetfond SEK 2005-02-28 1 1 4,4229 4,4229 4,4229 4,4229 265751 SEB Investment Management SEB Internetfond SEK 2005-03-01 1 1 4,4257 4,4257 4,4257 4,4257 265751 SEB Investment Management SEB Internetfond SEK 2005-03-02 1 1 4,4595 4,4595 4,4595 4,4595 265751 SEB Investment Management SEB Internetfond SEK 2005-03-03 1 1 4,4778 4,4778 4,4778 4,4778 265751 SEB Investment Management SEB Internetfond SEK 2005-03-04 1 1 4,4399 4,4399 4,4399 4,4399 265751 SEB Investment Management SEB Internetfond SEK 2005-03-07 1 1 4,497 4,497 4,497 4,497 265751 SEB Investment Management SEB Internetfond SEK 2005-03-08 1 1 4,4632 4,4632 4,4632 4,4632 265751 SEB Investment Management SEB Internetfond SEK 2005-03-09 1 1 4,406 4,406 4,406 4,406 265751 SEB Investment Management SEB Internetfond SEK 2005-03-10 1 1 4,3749 4,3749 4,3749 4,3749 265751 SEB Investment Management SEB Internetfond SEK 2005-03-11 1 1 4,3497 4,3497 4,3497 4,3497 265751 SEB Investment Management SEB Internetfond SEK 2005-03-14 1 1 4,3369 4,3369 4,3369 4,3369 265751 SEB Investment Management SEB Internetfond SEK 2005-03-15 1 1 4,4458 4,4458 4,4458 4,4458 265751 SEB Investment Management SEB Internetfond SEK 2005-03-16 1 1 4,3777 4,3777 4,3777 4,3777 265751 SEB Investment Management SEB Internetfond SEK 2005-03-17 1 1 4,3704 4,3704 4,3704 4,3704 265751 SEB Investment Management SEB Internetfond SEK 2005-03-18 1 1 4,3834 4,3834 4,3834 4,3834 265751 SEB Investment Management SEB Internetfond SEK 2005-03-21 1 1 4,4423 4,4423 4,4423 4,4423 265751 SEB Investment Management SEB Internetfond SEK 2005-03-22 1 1 4,4506 4,4506 4,4506 4,4506 265751 SEB Investment Management SEB Internetfond SEK 2005-03-23 1 1 4,4233 4,4233 4,4233 4,4233 265751 SEB Investment Management SEB Internetfond SEK 2005-03-24 1 1 4,4177 4,4177 4,4177 4,4177 265751 SEB Investment Management SEB Internetfond SEK 2005-03-29 1 1 4,4488 4,4488 4,4488 4,4488 265751 SEB Investment Management SEB Internetfond SEK 2005-03-30 1 1 4,3078 4,3078 4,3078 4,3078 265751 SEB Investment Management SEB Internetfond SEK 2005-03-31 1 1 4,3861 4,3861 4,3861 4,3861 265751 SEB Investment Management SEB Internetfond SEK 2005-04-01 1 1 4,381 4,381 4,381 4,381 265751 SEB Investment Management SEB Internetfond SEK 2005-04-04 1 1 4,4257 4,4257 4,4257 4,4257 265751 SEB Investment Management SEB Internetfond SEK 2005-04-05 1 1 4,483 4,483 4,483 4,483 265751 SEB Investment Management SEB Internetfond SEK 2005-04-06 1 1 4,4187 4,4187 4,4187 4,4187 265751 SEB Investment Management SEB Internetfond SEK 2005-04-07 1 1 4,3562 4,3562 4,3562 4,3562 265751 SEB Investment Management SEB Internetfond SEK 2005-04-08 1 1 4,4431 4,4431 4,4431 4,4431 265751 SEB Investment Management SEB Internetfond SEK 2005-04-11 1 1 4,3562 4,3562 4,3562 4,3562 265751 SEB Investment Management SEB Internetfond SEK 2005-04-12 1 1 4,3171 4,3171 4,3171 4,3171 265751 SEB Investment Management SEB Internetfond SEK 2005-04-13 1 1 4,3953 4,3953 4,3953 4,3953 265751 SEB Investment Management SEB Internetfond SEK 2005-04-14 1 1 4,3824 4,3824 4,3824 4,3824 265751 SEB Investment Management SEB Internetfond SEK 2005-04-15 1 1 4,2586 4,2586 4,2586 4,2586 265751 SEB Investment Management SEB Internetfond SEK 2005-04-18 1 1 4,188 4,188 4,188 4,188 265751 SEB Investment Management SEB Internetfond SEK 2005-04-19 1 1 4,2081 4,2081 4,2081 4,2081 265751 SEB Investment Management SEB Internetfond SEK 2005-04-20 1 1 4,2076 4,2076 4,2076 4,2076 265751 SEB Investment Management SEB Internetfond SEK 2005-04-21 1 1 4,2086 4,2086 4,2086 4,2086 265751 SEB Investment Management SEB Internetfond SEK 2005-04-22 1 1 4,192 4,192 4,192 4,192 265751 SEB Investment Management SEB Internetfond SEK 2005-04-25 1 1 4,1886 4,1886 4,1886 4,1886 265751 SEB Investment Management SEB Internetfond SEK 2005-04-26 1 1 4,1891 4,1891 4,1891 4,1891 265751 SEB Investment Management SEB Internetfond SEK 2005-04-27 1 1 4,0912 4,0912 4,0912 4,0912 265751 SEB Investment Management SEB Internetfond SEK 2005-04-28 1 1 4,1084 4,1084 4,1084 4,1084 265751 SEB Investment Management SEB Internetfond SEK 2005-04-29 1 1 4,1019 4,1019 4,1019 4,1019 265751 SEB Investment Management SEB Internetfond SEK 2005-05-02 1 1 4,1696 4,1696 4,1696 4,1696 265751 SEB Investment Management SEB Internetfond SEK 2005-05-03 1 1 4,146 4,146 4,146 4,146 265751 SEB Investment Management SEB Internetfond SEK 2005-05-04 1 1 4,085 4,085 4,085 4,085 265751 SEB Investment Management SEB Internetfond SEK 2005-05-06 1 1 4,1575 4,1575 4,1575 4,1575 265751 SEB Investment Management SEB Internetfond SEK 2005-05-09 1 1 4,2496 4,2496 4,2496 4,2496 265751 SEB Investment Management SEB Internetfond SEK 2005-05-10 1 1 4,2298 4,2298 4,2298 4,2298 265751 SEB Investment Management SEB Internetfond SEK 2005-05-11 1 1 4,2323 4,2323 4,2323 4,2323 265751 SEB Investment Management SEB Internetfond SEK 2005-05-12 1 1 4,26 4,26 4,26 4,26 265751 SEB Investment Management SEB Internetfond SEK 2005-05-13 1 1 4,2879 4,2879 4,2879 4,2879 265751 SEB Investment Management SEB Internetfond SEK 2005-05-16 1 1 4,3073 4,3073 4,3073 4,3073 265751 SEB Investment Management SEB Internetfond SEK 2005-05-17 1 1 4,3239 4,3239 4,3239 4,3239 265751 SEB Investment Management SEB Internetfond SEK 2005-05-18 1 1 4,3936 4,3936 4,3936 4,3936 265751 SEB Investment Management SEB Internetfond SEK 2005-05-19 1 1 4,4898 4,4898 4,4898 4,4898 265751 SEB Investment Management SEB Internetfond SEK 2005-05-20 1 1 4,5217 4,5217 4,5217 4,5217 265751 SEB Investment Management SEB Internetfond SEK 2005-05-23 1 1 4,5779 4,5779 4,5779 4,5779 265751 SEB Investment Management SEB Internetfond SEK 2005-05-24 1 1 4,5762 4,5762 4,5762 4,5762 265751 SEB Investment Management SEB Internetfond SEK 2005-05-25 1 1 4,5821 4,5821 4,5821 4,5821 265751 SEB Investment Management SEB Internetfond SEK 2005-05-26 1 1 4,6071 4,6071 4,6071 4,6071 265751 SEB Investment Management SEB Internetfond SEK 2005-05-27 1 1 4,6462 4,6462 4,6462 4,6462 265751 SEB Investment Management SEB Internetfond SEK 2005-05-30 1 1 4,6567 4,6567 4,6567 4,6567 265751 SEB Investment Management SEB Internetfond SEK 2005-05-31 1 1 4,6657 4,6657 4,6657 4,6657 265751 SEB Investment Management SEB Internetfond SEK 2005-06-01 1 1 4,7609 4,7609 4,7609 4,7609 265751 SEB Investment Management SEB Internetfond SEK 2005-06-02 1 1 4,8045 4,8045 4,8045 4,8045 265751 SEB Investment Management SEB Internetfond SEK 2005-06-03 1 1 4,8218 4,8218 4,8218 4,8218 265751 SEB Investment Management SEB Internetfond SEK 2005-06-07 1 1 4,827 4,827 4,827 4,827 265751 SEB Investment Management SEB Internetfond SEK 2005-06-08 1 1 4,8019 4,8019 4,8019 4,8019 265751 SEB Investment Management SEB Internetfond SEK 2005-06-09 1 1 4,7807 4,7807 4,7807 4,7807 265751 SEB Investment Management SEB Internetfond SEK 2005-06-10 1 1 4,8862 4,8862 4,8862 4,8862 265751 SEB Investment Management SEB Internetfond SEK 2005-06-13 1 1 4,9374 4,9374 4,9374 4,9374 265751 SEB Investment Management SEB Internetfond SEK 2005-06-14 1 1 4,9742 4,9742 4,9742 4,9742 265751 SEB Investment Management SEB Internetfond SEK 2005-06-15 1 1 4,9681 4,9681 4,9681 4,9681 265751 SEB Investment Management SEB Internetfond SEK 2005-06-16 1 1 4,9506 4,9506 4,9506 4,9506 265751 SEB Investment Management SEB Internetfond SEK 2005-06-17 1 1 4,9051 4,9051 4,9051 4,9051 265751 SEB Investment Management SEB Internetfond SEK 2005-06-20 1 1 4,8698 4,8698 4,8698 4,8698 265751 SEB Investment Management SEB Internetfond SEK 2005-06-21 1 1 4,9023 4,9023 4,9023 4,9023 265751 SEB Investment Management SEB Internetfond SEK 2005-06-22 1 1 4,9516 4,9516 4,9516 4,9516 265751 SEB Investment Management SEB Internetfond SEK 2005-06-23 1 1 5,041 5,041 5,041 5,041 265751 SEB Investment Management SEB Internetfond SEK 2005-06-27 1 1 4,8616 4,8616 4,8616 4,8616 265751 SEB Investment Management SEB Internetfond SEK 2005-06-28 1 1 4,9258 4,9258 4,9258 4,9258 265751 SEB Investment Management SEB Internetfond SEK 2005-06-29 1 1 4,9965 4,9965 4,9965 4,9965 265751 SEB Investment Management SEB Internetfond SEK 2005-06-30 1 1 5,015 5,015 5,015 5,015 265751 SEB Investment Management SEB Internetfond SEK 2005-07-01 1 1 5,0398 5,0398 5,0398 5,0398 265751 SEB Investment Management SEB Internetfond SEK 2005-07-04 1 1 5,0785 5,0785 5,0785 5,0785 265751 SEB Investment Management SEB Internetfond SEK 2005-07-05 1 1 5,0671 5,0671 5,0671 5,0671 265751 SEB Investment Management SEB Internetfond SEK 2005-07-06 1 1 5,1008 5,1008 5,1008 5,1008 265751 SEB Investment Management SEB Internetfond SEK 2005-07-07 1 1 5,0609 5,0609 5,0609 5,0609 265751 SEB Investment Management SEB Internetfond SEK 2005-07-08 1 1 5,1168 5,1168 5,1168 5,1168 265751 SEB Investment Management SEB Internetfond SEK 2005-07-11 1 1 5,2331 5,2331 5,2331 5,2331 265751 SEB Investment Management SEB Internetfond SEK 2005-07-12 1 1 5,1924 5,1924 5,1924 5,1924 265751 SEB Investment Management SEB Internetfond SEK 2005-07-13 1 1 5,195 5,195 5,195 5,195 265751 SEB Investment Management SEB Internetfond SEK 2005-07-14 1 1 5,2524 5,2524 5,2524 5,2524 265751 SEB Investment Management SEB Internetfond SEK 2005-07-15 1 1 5,2447 5,2447 5,2447 5,2447 265751 SEB Investment Management SEB Internetfond SEK 2005-07-18 1 1 5,2627 5,2627 5,2627 5,2627 265751 SEB Investment Management SEB Internetfond SEK 2005-07-19 1 1 5,3659 5,3659 5,3659 5,3659 265751 SEB Investment Management SEB Internetfond SEK 2005-07-20 1 1 5,3605 5,3605 5,3605 5,3605 265751 SEB Investment Management SEB Internetfond SEK 2005-07-21 1 1 5,4 5,4 5,4 5,4 265751 SEB Investment Management SEB Internetfond SEK 2005-07-22 1 1 5,3492 5,3492 5,3492 5,3492 265751 SEB Investment Management SEB Internetfond SEK 2005-07-25 1 1 5,3482 5,3482 5,3482 5,3482 265751 SEB Investment Management SEB Internetfond SEK 2005-07-26 1 1 5,408 5,408 5,408 5,408 265751 SEB Investment Management SEB Internetfond SEK 2005-07-27 1 1 5,3917 5,3917 5,3917 5,3917 265751 SEB Investment Management SEB Internetfond SEK 2005-07-28 1 1 5,4174 5,4174 5,4174 5,4174 265751 SEB Investment Management SEB Internetfond SEK 2005-07-29 1 1 5,4194 5,4194 5,4194 5,4194 265751 SEB Investment Management SEB Internetfond SEK 2005-08-01 1 1 5,3655 5,3655 5,3655 5,3655 265751 SEB Investment Management SEB Internetfond SEK 2005-08-02 1 1 5,3801 5,3801 5,3801 5,3801 265751 SEB Investment Management SEB Internetfond SEK 2005-08-03 1 1 5,3042 5,3042 5,3042 5,3042 265751 SEB Investment Management SEB Internetfond SEK 2005-08-04 1 1 5,2413 5,2413 5,2413 5,2413 265751 SEB Investment Management SEB Internetfond SEK 2005-08-05 1 1 5,1954 5,1954 5,1954 5,1954 265751 SEB Investment Management SEB Internetfond SEK 2005-08-08 1 1 5,1884 5,1884 5,1884 5,1884 265751 SEB Investment Management SEB Internetfond SEK 2005-08-09 1 1 5,2073 5,2073 5,2073 5,2073 265751 SEB Investment Management SEB Internetfond SEK 2005-08-10 1 1 5,2067 5,2067 5,2067 5,2067 265751 SEB Investment Management SEB Internetfond SEK 2005-08-11 1 1 5,0923 5,0923 5,0923 5,0923 265751 SEB Investment Management SEB Internetfond SEK 2005-08-12 1 1 5,0725 5,0725 5,0725 5,0725 265751 SEB Investment Management SEB Internetfond SEK 2005-08-15 1 1 5,1296 5,1296 5,1296 5,1296 265751 SEB Investment Management SEB Internetfond SEK 2005-08-16 1 1 5,1543 5,1543 5,1543 5,1543 265751 SEB Investment Management SEB Internetfond SEK 2005-08-17 1 1 5,1434 5,1434 5,1434 5,1434 265751 SEB Investment Management SEB Internetfond SEK 2005-08-18 1 1 5,1699 5,1699 5,1699 5,1699 265751 SEB Investment Management SEB Internetfond SEK 2005-08-19 1 1 5,1913 5,1913 5,1913 5,1913 265751 SEB Investment Management SEB Internetfond SEK 2005-08-22 1 1 5,1754 5,1754 5,1754 5,1754 265751 SEB Investment Management SEB Internetfond SEK 2005-08-23 1 1 5,1609 5,1609 5,1609 5,1609 265751 SEB Investment Management SEB Internetfond SEK 2005-08-24 1 1 5,121 5,121 5,121 5,121 265751 SEB Investment Management SEB Internetfond SEK 2005-08-25 1 1 5,0931 5,0931 5,0931 5,0931 265751 SEB Investment Management SEB Internetfond SEK 2005-08-26 1 1 5,0478 5,0478 5,0478 5,0478 265751 SEB Investment Management SEB Internetfond SEK 2005-08-29 1 1 5,0579 5,0579 5,0579 5,0579 265751 SEB Investment Management SEB Internetfond SEK 2005-08-30 1 1 5,14 5,14 5,14 5,14 265751 SEB Investment Management SEB Internetfond SEK 2005-08-31 1 1 5,1008 5,1008 5,1008 5,1008 265751 SEB Investment Management SEB Internetfond SEK 2005-09-01 1 1 5,1111 5,1111 5,1111 5,1111 265751 SEB Investment Management SEB Internetfond SEK 2005-09-02 1 1 5,0593 5,0593 5,0593 5,0593 265751 SEB Investment Management SEB Internetfond SEK 2005-09-05 1 1 5,0439 5,0439 5,0439 5,0439 265751 SEB Investment Management SEB Internetfond SEK 2005-09-06 1 1 5,0763 5,0763 5,0763 5,0763 265751 SEB Investment Management SEB Internetfond SEK 2005-09-07 1 1 5,1415 5,1415 5,1415 5,1415 265751 SEB Investment Management SEB Internetfond SEK 2005-09-08 1 1 5,1812 5,1812 5,1812 5,1812 265751 SEB Investment Management SEB Internetfond SEK 2005-09-09 1 1 5,1956 5,1956 5,1956 5,1956 265751 SEB Investment Management SEB Internetfond SEK 2005-09-12 1 1 5,2979 5,2979 5,2979 5,2979 265751 SEB Investment Management SEB Internetfond SEK 2005-09-13 1 1 5,3152 5,3152 5,3152 5,3152 265751 SEB Investment Management SEB Internetfond SEK 2005-09-14 1 1 5,3022 5,3022 5,3022 5,3022 265751 SEB Investment Management SEB Internetfond SEK 2005-09-15 1 1 5,3106 5,3106 5,3106 5,3106 265751 SEB Investment Management SEB Internetfond SEK 2005-09-16 1 1 5,3248 5,3248 5,3248 5,3248 265751 SEB Investment Management SEB Internetfond SEK 2005-09-19 1 1 5,349 5,349 5,349 5,349 265751 SEB Investment Management SEB Internetfond SEK 2005-09-20 1 1 5,3164 5,3164 5,3164 5,3164 265751 SEB Investment Management SEB Internetfond SEK 2005-09-21 1 1 5,2497 5,2497 5,2497 5,2497 265751 SEB Investment Management SEB Internetfond SEK 2005-09-22 1 1 5,2235 5,2235 5,2235 5,2235 265751 SEB Investment Management SEB Internetfond SEK 2005-09-23 1 1 5,2783 5,2783 5,2783 5,2783 265751 SEB Investment Management SEB Internetfond SEK 2005-09-26 1 1 5,3819 5,3819 5,3819 5,3819 265751 SEB Investment Management SEB Internetfond SEK 2005-09-27 1 1 5,453 5,453 5,453 5,453 265751 SEB Investment Management SEB Internetfond SEK 2005-09-28 1 1 5,4749 5,4749 5,4749 5,4749 265751 SEB Investment Management SEB Internetfond SEK 2005-09-29 1 1 5,4747 5,4747 5,4747 5,4747 265751 SEB Investment Management SEB Internetfond SEK 2005-09-30 1 1 5,5195 5,5195 5,5195 5,5195 265751 SEB Investment Management SEB Internetfond SEK 2005-10-03 1 1 5,6104 5,6104 5,6104 5,6104 265751 SEB Investment Management SEB Internetfond SEK 2005-10-04 1 1 5,5775 5,5775 5,5775 5,5775 265751 SEB Investment Management SEB Internetfond SEK 2005-10-05 1 1 5,4995 5,4995 5,4995 5,4995 265751 SEB Investment Management SEB Internetfond SEK 2005-10-06 1 1 5,337 5,337 5,337 5,337 265751 SEB Investment Management SEB Internetfond SEK 2005-10-07 1 1 5,3091 5,3091 5,3091 5,3091 265751 SEB Investment Management SEB Internetfond SEK 2005-10-10 1 1 5,309 5,309 5,309 5,309 265751 SEB Investment Management SEB Internetfond SEK 2005-10-11 1 1 5,3328 5,3328 5,3328 5,3328 265751 SEB Investment Management SEB Internetfond SEK 2005-10-12 1 1 5,2344 5,2344 5,2344 5,2344 265751 SEB Investment Management SEB Internetfond SEK 2005-10-13 1 1 5,211 5,211 5,211 5,211 265751 SEB Investment Management SEB Internetfond SEK 2005-10-14 1 1 5,2603 5,2603 5,2603 5,2603 265751 SEB Investment Management SEB Internetfond SEK 2005-10-17 1 1 5,3328 5,3328 5,3328 5,3328 265751 SEB Investment Management SEB Internetfond SEK 2005-10-18 1 1 5,3557 5,3557 5,3557 5,3557 265751 SEB Investment Management SEB Internetfond SEK 2005-10-19 1 1 5,2927 5,2927 5,2927 5,2927 265751 SEB Investment Management SEB Internetfond SEK 2005-10-20 1 1 5,3974 5,3974 5,3974 5,3974 265751 SEB Investment Management SEB Internetfond SEK 2005-10-21 1 1 5,3675 5,3675 5,3675 5,3675 265751 SEB Investment Management SEB Internetfond SEK 2005-10-24 1 1 5,5293 5,5293 5,5293 5,5293 265751 SEB Investment Management SEB Internetfond SEK 2005-10-25 1 1 5,4778 5,4778 5,4778 5,4778 265751 SEB Investment Management SEB Internetfond SEK 2005-10-26 1 1 5,4713 5,4713 5,4713 5,4713 265751 SEB Investment Management SEB Internetfond SEK 2005-10-27 1 1 5,3775 5,3775 5,3775 5,3775 265751 SEB Investment Management SEB Internetfond SEK 2005-10-28 1 1 5,3422 5,3422 5,3422 5,3422 265751 SEB Investment Management SEB Internetfond SEK 2005-10-31 1 1 5,472 5,472 5,472 5,472 265751 SEB Investment Management SEB Internetfond SEK 2005-11-01 1 1 5,5132 5,5132 5,5132 5,5132 265751 SEB Investment Management SEB Internetfond SEK 2005-11-02 1 1 5,4178 5,4178 5,4178 5,4178 265751 SEB Investment Management SEB Internetfond SEK 2005-11-03 1 1 5,5571 5,5571 5,5571 5,5571 265751 SEB Investment Management SEB Internetfond SEK 2005-11-04 1 1 5,5948 5,5948 5,5948 5,5948 265751 SEB Investment Management SEB Internetfond SEK 2005-11-07 1 1 5,6898 5,6898 5,6898 5,6898 265751 SEB Investment Management SEB Internetfond SEK 2005-11-08 1 1 5,6393 5,6393 5,6393 5,6393 265751 SEB Investment Management SEB Internetfond SEK 2005-11-09 1 1 5,6569 5,6569 5,6569 5,6569 265751 SEB Investment Management SEB Internetfond SEK 2005-11-10 1 1 5,6792 5,6792 5,6792 5,6792 265751 SEB Investment Management SEB Internetfond SEK 2005-11-11 1 1 5,7188 5,7188 5,7188 5,7188 265751 SEB Investment Management SEB Internetfond SEK 2005-11-14 1 1 5,7101 5,7101 5,7101 5,7101 265751 SEB Investment Management SEB Internetfond SEK 2005-11-15 1 1 5,6864 5,6864 5,6864 5,6864 265751 SEB Investment Management SEB Internetfond SEK 2005-11-16 1 1 5,6484 5,6484 5,6484 5,6484 265751 SEB Investment Management SEB Internetfond SEK 2005-11-17 1 1 5,673 5,673 5,673 5,673 265751 SEB Investment Management SEB Internetfond SEK 2005-11-18 1 1 5,7231 5,7231 5,7231 5,7231 265751 SEB Investment Management SEB Internetfond SEK 2005-11-21 1 1 5,7017 5,7017 5,7017 5,7017 265751 SEB Investment Management SEB Internetfond SEK 2005-11-22 1 1 5,8249 5,8249 5,8249 5,8249 265751 SEB Investment Management SEB Internetfond SEK 2005-11-23 1 1 5,7949 5,7949 5,7949 5,7949 265751 SEB Investment Management SEB Internetfond SEK 2005-11-24 1 1 5,774 5,774 5,774 5,774 265751 SEB Investment Management SEB Internetfond SEK 2005-11-25 1 1 5,7707 5,7707 5,7707 5,7707 265751 SEB Investment Management SEB Internetfond SEK 2005-11-28 1 1 5,7407 5,7407 5,7407 5,7407 265751 SEB Investment Management SEB Internetfond SEK 2005-11-29 1 1 5,7218 5,7218 5,7218 5,7218 265751 SEB Investment Management SEB Internetfond SEK 2005-11-30 1 1 5,7228 5,7228 5,7228 5,7228 265751 SEB Investment Management SEB Internetfond SEK 2005-12-01 1 1 5,855 5,855 5,855 5,855 265751 SEB Investment Management SEB Internetfond SEK 2005-12-02 1 1 5,7976 5,7976 5,7976 5,7976 265751 SEB Investment Management SEB Internetfond SEK 2005-12-05 1 1 5,7729 5,7729 5,7729 5,7729 265751 SEB Investment Management SEB Internetfond SEK 2005-12-06 1 1 5,7314 5,7314 5,7314 5,7314 265751 SEB Investment Management SEB Internetfond SEK 2005-12-07 1 1 5,733 5,733 5,733 5,733 265751 SEB Investment Management SEB Internetfond SEK 2005-12-08 1 1 5,6909 5,6909 5,6909 5,6909 265751 SEB Investment Management SEB Internetfond SEK 2005-12-12 1 1 5,6289 5,6289 5,6289 5,6289 265751 SEB Investment Management SEB Internetfond SEK 2005-12-13 1 1 5,6127 5,6127 5,6127 5,6127 265751 SEB Investment Management SEB Internetfond SEK 2005-12-14 1 1 5,5619 5,5619 5,5619 5,5619 265751 SEB Investment Management SEB Internetfond SEK 2005-12-15 1 1 5,5893 5,5893 5,5893 5,5893 265751 SEB Investment Management SEB Internetfond SEK 2005-12-16 1 1 5,6273 5,6273 5,6273 5,6273 265751 SEB Investment Management SEB Internetfond SEK 2005-12-19 1 1 5,603 5,603 5,603 5,603 265751 SEB Investment Management SEB Internetfond SEK 2005-12-20 1 1 5,5833 5,5833 5,5833 5,5833 265751 SEB Investment Management SEB Internetfond SEK 2005-12-21 1 1 5,6409 5,6409 5,6409 5,6409 265751 SEB Investment Management SEB Internetfond SEK 2005-12-22 1 1 5,7098 5,7098 5,7098 5,7098 265751 SEB Investment Management SEB Internetfond SEK 2005-12-23 1 1 5,7485 5,7485 5,7485 5,7485 265751 SEB Investment Management SEB Internetfond SEK 2005-12-27 1 1 5,6988 5,6988 5,6988 5,6988 265751 SEB Investment Management SEB Internetfond SEK 2005-12-28 1 1 5,5655 5,5655 5,5655 5,5655 265751 SEB Investment Management SEB Internetfond SEK 2005-12-29 1 1 5,5849 5,5849 5,5849 5,5849 265751 SEB Investment Management SEB Internetfond SEK 2005-12-30 1 1 5,5459 5,5459 5,5459 5,5459 377432 SEB Investment Management SEB Japanfond SEK 2005-02-14 1 1 5,6682 5,6682 5,6682 5,6682 377432 SEB Investment Management SEB Japanfond SEK 2005-02-15 1 1 5,6576 5,6576 5,6576 5,6576 377432 SEB Investment Management SEB Japanfond SEK 2005-02-16 1 1 5,6275 5,6275 5,6275 5,6275 377432 SEB Investment Management SEB Japanfond SEK 2005-02-17 1 1 5,6042 5,6042 5,6042 5,6042 377432 SEB Investment Management SEB Japanfond SEK 2005-02-18 1 1 5,6192 5,6192 5,6192 5,6192 377432 SEB Investment Management SEB Japanfond SEK 2005-02-21 1 1 5,6249 5,6249 5,6249 5,6249 377432 SEB Investment Management SEB Japanfond SEK 2005-02-22 1 1 5,6135 5,6135 5,6135 5,6135 377432 SEB Investment Management SEB Japanfond SEK 2005-02-23 1 1 5,5227 5,5227 5,5227 5,5227 377432 SEB Investment Management SEB Japanfond SEK 2005-02-24 1 1 5,513 5,513 5,513 5,513 377432 SEB Investment Management SEB Japanfond SEK 2005-02-25 1 1 5,5748 5,5748 5,5748 5,5748 377432 SEB Investment Management SEB Japanfond SEK 2005-02-28 1 1 5,6199 5,6199 5,6199 5,6199 377432 SEB Investment Management SEB Japanfond SEK 2005-03-01 1 1 5,6377 5,6377 5,6377 5,6377 377432 SEB Investment Management SEB Japanfond SEK 2005-03-02 1 1 5,6955 5,6955 5,6955 5,6955 377432 SEB Investment Management SEB Japanfond SEK 2005-03-03 1 1 5,692 5,692 5,692 5,692 377432 SEB Investment Management SEB Japanfond SEK 2005-03-04 1 1 5,6793 5,6793 5,6793 5,6793 377432 SEB Investment Management SEB Japanfond SEK 2005-03-07 1 1 5,6655 5,6655 5,6655 5,6655 377432 SEB Investment Management SEB Japanfond SEK 2005-03-08 1 1 5,6356 5,6356 5,6356 5,6356 377432 SEB Investment Management SEB Japanfond SEK 2005-03-09 1 1 5,6704 5,6704 5,6704 5,6704 377432 SEB Investment Management SEB Japanfond SEK 2005-03-10 1 1 5,6236 5,6236 5,6236 5,6236 377432 SEB Investment Management SEB Japanfond SEK 2005-03-11 1 1 5,6205 5,6205 5,6205 5,6205 377432 SEB Investment Management SEB Japanfond SEK 2005-03-14 1 1 5,5824 5,5824 5,5824 5,5824 377432 SEB Investment Management SEB Japanfond SEK 2005-03-15 1 1 5,6203 5,6203 5,6203 5,6203 377432 SEB Investment Management SEB Japanfond SEK 2005-03-16 1 1 5,6085 5,6085 5,6085 5,6085 377432 SEB Investment Management SEB Japanfond SEK 2005-03-17 1 1 5,586 5,586 5,586 5,586 377432 SEB Investment Management SEB Japanfond SEK 2005-03-18 1 1 5,6532 5,6532 5,6532 5,6532 377432 SEB Investment Management SEB Japanfond SEK 2005-03-22 1 1 5,6875 5,6875 5,6875 5,6875 377432 SEB Investment Management SEB Japanfond SEK 2005-03-23 1 1 5,6759 5,6759 5,6759 5,6759 377432 SEB Investment Management SEB Japanfond SEK 2005-03-24 1 1 5,618 5,618 5,618 5,618 377432 SEB Investment Management SEB Japanfond SEK 2005-03-29 1 1 5,6007 5,6007 5,6007 5,6007 377432 SEB Investment Management SEB Japanfond SEK 2005-03-30 1 1 5,5653 5,5653 5,5653 5,5653 377432 SEB Investment Management SEB Japanfond SEK 2005-03-31 1 1 5,6401 5,6401 5,6401 5,6401 377432 SEB Investment Management SEB Japanfond SEK 2005-04-01 1 1 5,6575 5,6575 5,6575 5,6575 377432 SEB Investment Management SEB Japanfond SEK 2005-04-04 1 1 5,6675 5,6675 5,6675 5,6675 377432 SEB Investment Management SEB Japanfond SEK 2005-04-05 1 1 5,7033 5,7033 5,7033 5,7033 377432 SEB Investment Management SEB Japanfond SEK 2005-04-06 1 1 5,7048 5,7048 5,7048 5,7048 377432 SEB Investment Management SEB Japanfond SEK 2005-04-07 1 1 5,7004 5,7004 5,7004 5,7004 377432 SEB Investment Management SEB Japanfond SEK 2005-04-08 1 1 5,7332 5,7332 5,7332 5,7332 377432 SEB Investment Management SEB Japanfond SEK 2005-04-11 1 1 5,6561 5,6561 5,6561 5,6561 377432 SEB Investment Management SEB Japanfond SEK 2005-04-12 1 1 5,5925 5,5925 5,5925 5,5925 377432 SEB Investment Management SEB Japanfond SEK 2005-04-13 1 1 5,6354 5,6354 5,6354 5,6354 377432 SEB Investment Management SEB Japanfond SEK 2005-04-14 1 1 5,6276 5,6276 5,6276 5,6276 377432 SEB Investment Management SEB Japanfond SEK 2005-04-15 1 1 5,5342 5,5342 5,5342 5,5342 377432 SEB Investment Management SEB Japanfond SEK 2005-04-18 1 1 5,338 5,338 5,338 5,338 377432 SEB Investment Management SEB Japanfond SEK 2005-04-19 1 1 5,4099 5,4099 5,4099 5,4099 377432 SEB Investment Management SEB Japanfond SEK 2005-04-20 1 1 5,4272 5,4272 5,4272 5,4272 377432 SEB Investment Management SEB Japanfond SEK 2005-04-21 1 1 5,359 5,359 5,359 5,359 377432 SEB Investment Management SEB Japanfond SEK 2005-04-22 1 1 5,4289 5,4289 5,4289 5,4289 377432 SEB Investment Management SEB Japanfond SEK 2005-04-25 1 1 5,4668 5,4668 5,4668 5,4668 377432 SEB Investment Management SEB Japanfond SEK 2005-04-26 1 1 5,4454 5,4454 5,4454 5,4454 377432 SEB Investment Management SEB Japanfond SEK 2005-04-27 1 1 5,4407 5,4407 5,4407 5,4407 377432 SEB Investment Management SEB Japanfond SEK 2005-04-28 1 1 5,4768 5,4768 5,4768 5,4768 377432 SEB Investment Management SEB Japanfond SEK 2005-05-02 1 1 5,5755 5,5755 5,5755 5,5755 377432 SEB Investment Management SEB Japanfond SEK 2005-05-06 1 1 5,6758 5,6758 5,6758 5,6758 377432 SEB Investment Management SEB Japanfond SEK 2005-05-09 1 1 5,6474 5,6474 5,6474 5,6474 377432 SEB Investment Management SEB Japanfond SEK 2005-05-10 1 1 5,64 5,64 5,64 5,64 377432 SEB Investment Management SEB Japanfond SEK 2005-05-11 1 1 5,6294 5,6294 5,6294 5,6294 377432 SEB Investment Management SEB Japanfond SEK 2005-05-12 1 1 5,6039 5,6039 5,6039 5,6039 377432 SEB Investment Management SEB Japanfond SEK 2005-05-13 1 1 5,5848 5,5848 5,5848 5,5848 377432 SEB Investment Management SEB Japanfond SEK 2005-05-16 1 1 5,5527 5,5527 5,5527 5,5527 377432 SEB Investment Management SEB Japanfond SEK 2005-05-17 1 1 5,5206 5,5206 5,5206 5,5206 377432 SEB Investment Management SEB Japanfond SEK 2005-05-18 1 1 5,499 5,499 5,499 5,499 377432 SEB Investment Management SEB Japanfond SEK 2005-05-19 1 1 5,5799 5,5799 5,5799 5,5799 377432 SEB Investment Management SEB Japanfond SEK 2005-05-20 1 1 5,5698 5,5698 5,5698 5,5698 377432 SEB Investment Management SEB Japanfond SEK 2005-05-23 1 1 5,6115 5,6115 5,6115 5,6115 377432 SEB Investment Management SEB Japanfond SEK 2005-05-24 1 1 5,6207 5,6207 5,6207 5,6207 377432 SEB Investment Management SEB Japanfond SEK 2005-05-25 1 1 5,5788 5,5788 5,5788 5,5788 377432 SEB Investment Management SEB Japanfond SEK 2005-05-26 1 1 5,5848 5,5848 5,5848 5,5848 377432 SEB Investment Management SEB Japanfond SEK 2005-05-27 1 1 5,6278 5,6278 5,6278 5,6278 377432 SEB Investment Management SEB Japanfond SEK 2005-05-30 1 1 5,6911 5,6911 5,6911 5,6911 377432 SEB Investment Management SEB Japanfond SEK 2005-05-31 1 1 5,7226 5,7226 5,7226 5,7226 377432 SEB Investment Management SEB Japanfond SEK 2005-06-01 1 1 5,751 5,751 5,751 5,751 377432 SEB Investment Management SEB Japanfond SEK 2005-06-02 1 1 5,7548 5,7548 5,7548 5,7548 377432 SEB Investment Management SEB Japanfond SEK 2005-06-03 1 1 5,7865 5,7865 5,7865 5,7865 377432 SEB Investment Management SEB Japanfond SEK 2005-06-07 1 1 5,8176 5,8176 5,8176 5,8176 377432 SEB Investment Management SEB Japanfond SEK 2005-06-08 1 1 5,8411 5,8411 5,8411 5,8411 377432 SEB Investment Management SEB Japanfond SEK 2005-06-09 1 1 5,7993 5,7993 5,7993 5,7993 377432 SEB Investment Management SEB Japanfond SEK 2005-06-10 1 1 5,8663 5,8663 5,8663 5,8663 377432 SEB Investment Management SEB Japanfond SEK 2005-06-13 1 1 5,8705 5,8705 5,8705 5,8705 377432 SEB Investment Management SEB Japanfond SEK 2005-06-14 1 1 5,8922 5,8922 5,8922 5,8922 377432 SEB Investment Management SEB Japanfond SEK 2005-06-15 1 1 5,8827 5,8827 5,8827 5,8827 377432 SEB Investment Management SEB Japanfond SEK 2005-06-16 1 1 5,9172 5,9172 5,9172 5,9172 377432 SEB Investment Management SEB Japanfond SEK 2005-06-17 1 1 5,8969 5,8969 5,8969 5,8969 377432 SEB Investment Management SEB Japanfond SEK 2005-06-20 1 1 5,8794 5,8794 5,8794 5,8794 377432 SEB Investment Management SEB Japanfond SEK 2005-06-21 1 1 5,9241 5,9241 5,9241 5,9241 377432 SEB Investment Management SEB Japanfond SEK 2005-06-22 1 1 5,9683 5,9683 5,9683 5,9683 377432 SEB Investment Management SEB Japanfond SEK 2005-06-23 1 1 6,0754 6,0754 6,0754 6,0754 377432 SEB Investment Management SEB Japanfond SEK 2005-06-27 1 1 5,9378 5,9378 5,9378 5,9378 377432 SEB Investment Management SEB Japanfond SEK 2005-06-28 1 1 5,967 5,967 5,967 5,967 377432 SEB Investment Management SEB Japanfond SEK 2005-06-29 1 1 6,0336 6,0336 6,0336 6,0336 377432 SEB Investment Management SEB Japanfond SEK 2005-06-30 1 1 6,0224 6,0224 6,0224 6,0224 377432 SEB Investment Management SEB Japanfond SEK 2005-07-01 1 1 6,0444 6,0444 6,0444 6,0444 377432 SEB Investment Management SEB Japanfond SEK 2005-07-04 1 1 6,1275 6,1275 6,1275 6,1275 377432 SEB Investment Management SEB Japanfond SEK 2005-07-05 1 1 6,0724 6,0724 6,0724 6,0724 377432 SEB Investment Management SEB Japanfond SEK 2005-07-06 1 1 6,039 6,039 6,039 6,039 377432 SEB Investment Management SEB Japanfond SEK 2005-07-07 1 1 6,0333 6,0333 6,0333 6,0333 377432 SEB Investment Management SEB Japanfond SEK 2005-07-08 1 1 6,0029 6,0029 6,0029 6,0029 377432 SEB Investment Management SEB Japanfond SEK 2005-07-11 1 1 6,0496 6,0496 6,0496 6,0496 377432 SEB Investment Management SEB Japanfond SEK 2005-07-12 1 1 5,992 5,992 5,992 5,992 377432 SEB Investment Management SEB Japanfond SEK 2005-07-13 1 1 5,9286 5,9286 5,9286 5,9286 377432 SEB Investment Management SEB Japanfond SEK 2005-07-14 1 1 5,9802 5,9802 5,9802 5,9802 377432 SEB Investment Management SEB Japanfond SEK 2005-07-15 1 1 6,0033 6,0033 6,0033 6,0033 377432 SEB Investment Management SEB Japanfond SEK 2005-07-19 1 1 6,0006 6,0006 6,0006 6,0006 377432 SEB Investment Management SEB Japanfond SEK 2005-07-20 1 1 5,9979 5,9979 5,9979 5,9979 377432 SEB Investment Management SEB Japanfond SEK 2005-07-21 1 1 6,0698 6,0698 6,0698 6,0698 377432 SEB Investment Management SEB Japanfond SEK 2005-07-22 1 1 6,0193 6,0193 6,0193 6,0193 377432 SEB Investment Management SEB Japanfond SEK 2005-07-25 1 1 5,9944 5,9944 5,9944 5,9944 377432 SEB Investment Management SEB Japanfond SEK 2005-07-26 1 1 6,0108 6,0108 6,0108 6,0108 377432 SEB Investment Management SEB Japanfond SEK 2005-07-27 1 1 6,0451 6,0451 6,0451 6,0451 377432 SEB Investment Management SEB Japanfond SEK 2005-07-28 1 1 5,9984 5,9984 5,9984 5,9984 377432 SEB Investment Management SEB Japanfond SEK 2005-07-29 1 1 6,0098 6,0098 6,0098 6,0098 377432 SEB Investment Management SEB Japanfond SEK 2005-08-01 1 1 5,987 5,987 5,987 5,987 377432 SEB Investment Management SEB Japanfond SEK 2005-08-02 1 1 5,9965 5,9965 5,9965 5,9965 377432 SEB Investment Management SEB Japanfond SEK 2005-08-03 1 1 5,9976 5,9976 5,9976 5,9976 377432 SEB Investment Management SEB Japanfond SEK 2005-08-04 1 1 5,9067 5,9067 5,9067 5,9067 377432 SEB Investment Management SEB Japanfond SEK 2005-08-05 1 1 5,8041 5,8041 5,8041 5,8041 377432 SEB Investment Management SEB Japanfond SEK 2005-08-08 1 1 5,8138 5,8138 5,8138 5,8138 377432 SEB Investment Management SEB Japanfond SEK 2005-08-09 1 1 5,8613 5,8613 5,8613 5,8613 377432 SEB Investment Management SEB Japanfond SEK 2005-08-10 1 1 6,0093 6,0093 6,0093 6,0093 377432 SEB Investment Management SEB Japanfond SEK 2005-08-11 1 1 6,0619 6,0619 6,0619 6,0619 377432 SEB Investment Management SEB Japanfond SEK 2005-08-12 1 1 6,1077 6,1077 6,1077 6,1077 377432 SEB Investment Management SEB Japanfond SEK 2005-08-15 1 1 6,1322 6,1322 6,1322 6,1322 377432 SEB Investment Management SEB Japanfond SEK 2005-08-16 1 1 6,1948 6,1948 6,1948 6,1948 377432 SEB Investment Management SEB Japanfond SEK 2005-08-17 1 1 6,1611 6,1611 6,1611 6,1611 377432 SEB Investment Management SEB Japanfond SEK 2005-08-18 1 1 6,1938 6,1938 6,1938 6,1938 377432 SEB Investment Management SEB Japanfond SEK 2005-08-19 1 1 6,2146 6,2146 6,2146 6,2146 377432 SEB Investment Management SEB Japanfond SEK 2005-08-22 1 1 6,3144 6,3144 6,3144 6,3144 377432 SEB Investment Management SEB Japanfond SEK 2005-08-23 1 1 6,3176 6,3176 6,3176 6,3176 377432 SEB Investment Management SEB Japanfond SEK 2005-08-24 1 1 6,2909 6,2909 6,2909 6,2909 377432 SEB Investment Management SEB Japanfond SEK 2005-08-25 1 1 6,2813 6,2813 6,2813 6,2813 377432 SEB Investment Management SEB Japanfond SEK 2005-08-26 1 1 6,2797 6,2797 6,2797 6,2797 377432 SEB Investment Management SEB Japanfond SEK 2005-08-29 1 1 6,1856 6,1856 6,1856 6,1856 377432 SEB Investment Management SEB Japanfond SEK 2005-08-30 1 1 6,263 6,263 6,263 6,263 377432 SEB Investment Management SEB Japanfond SEK 2005-08-31 1 1 6,2485 6,2485 6,2485 6,2485 377432 SEB Investment Management SEB Japanfond SEK 2005-09-01 1 1 6,2388 6,2388 6,2388 6,2388 377432 SEB Investment Management SEB Japanfond SEK 2005-09-02 1 1 6,2253 6,2253 6,2253 6,2253 377432 SEB Investment Management SEB Japanfond SEK 2005-09-05 1 1 6,295 6,295 6,295 6,295 377432 SEB Investment Management SEB Japanfond SEK 2005-09-06 1 1 6,2924 6,2924 6,2924 6,2924 377432 SEB Investment Management SEB Japanfond SEK 2005-09-07 1 1 6,2973 6,2973 6,2973 6,2973 377432 SEB Investment Management SEB Japanfond SEK 2005-09-08 1 1 6,265 6,265 6,265 6,265 377432 SEB Investment Management SEB Japanfond SEK 2005-09-09 1 1 6,3592 6,3592 6,3592 6,3592 377432 SEB Investment Management SEB Japanfond SEK 2005-09-12 1 1 6,4798 6,4798 6,4798 6,4798 377432 SEB Investment Management SEB Japanfond SEK 2005-09-13 1 1 6,4912 6,4912 6,4912 6,4912 377432 SEB Investment Management SEB Japanfond SEK 2005-09-14 1 1 6,4915 6,4915 6,4915 6,4915 377432 SEB Investment Management SEB Japanfond SEK 2005-09-15 1 1 6,5901 6,5901 6,5901 6,5901 377432 SEB Investment Management SEB Japanfond SEK 2005-09-16 1 1 6,5561 6,5561 6,5561 6,5561 377432 SEB Investment Management SEB Japanfond SEK 2005-09-20 1 1 6,6494 6,6494 6,6494 6,6494 377432 SEB Investment Management SEB Japanfond SEK 2005-09-21 1 1 6,6714 6,6714 6,6714 6,6714 377432 SEB Investment Management SEB Japanfond SEK 2005-09-22 1 1 6,6658 6,6658 6,6658 6,6658 377432 SEB Investment Management SEB Japanfond SEK 2005-09-26 1 1 6,8563 6,8563 6,8563 6,8563 377432 SEB Investment Management SEB Japanfond SEK 2005-09-27 1 1 6,814 6,814 6,814 6,814 377432 SEB Investment Management SEB Japanfond SEK 2005-09-28 1 1 6,91 6,91 6,91 6,91 377432 SEB Investment Management SEB Japanfond SEK 2005-09-29 1 1 7,0162 7,0162 7,0162 7,0162 377432 SEB Investment Management SEB Japanfond SEK 2005-09-30 1 1 6,9317 6,9317 6,9317 6,9317 377432 SEB Investment Management SEB Japanfond SEK 2005-10-03 1 1 6,9235 6,9235 6,9235 6,9235 377432 SEB Investment Management SEB Japanfond SEK 2005-10-04 1 1 6,9697 6,9697 6,9697 6,9697 377432 SEB Investment Management SEB Japanfond SEK 2005-10-05 1 1 6,963 6,963 6,963 6,963 377432 SEB Investment Management SEB Japanfond SEK 2005-10-06 1 1 6,6835 6,6835 6,6835 6,6835 377432 SEB Investment Management SEB Japanfond SEK 2005-10-07 1 1 6,6736 6,6736 6,6736 6,6736 377432 SEB Investment Management SEB Japanfond SEK 2005-10-11 1 1 6,8362 6,8362 6,8362 6,8362 377432 SEB Investment Management SEB Japanfond SEK 2005-10-12 1 1 6,8191 6,8191 6,8191 6,8191 377432 SEB Investment Management SEB Japanfond SEK 2005-10-13 1 1 6,8785 6,8785 6,8785 6,8785 377432 SEB Investment Management SEB Japanfond SEK 2005-10-14 1 1 6,8929 6,8929 6,8929 6,8929 377432 SEB Investment Management SEB Japanfond SEK 2005-10-17 1 1 6,8715 6,8715 6,8715 6,8715 377432 SEB Investment Management SEB Japanfond SEK 2005-10-18 1 1 6,841 6,841 6,841 6,841 377432 SEB Investment Management SEB Japanfond SEK 2005-10-19 1 1 6,769 6,769 6,769 6,769 377432 SEB Investment Management SEB Japanfond SEK 2005-10-20 1 1 6,7958 6,7958 6,7958 6,7958 377432 SEB Investment Management SEB Japanfond SEK 2005-10-21 1 1 6,7703 6,7703 6,7703 6,7703 377432 SEB Investment Management SEB Japanfond SEK 2005-10-24 1 1 6,8016 6,8016 6,8016 6,8016 377432 SEB Investment Management SEB Japanfond SEK 2005-10-25 1 1 6,7888 6,7888 6,7888 6,7888 377432 SEB Investment Management SEB Japanfond SEK 2005-10-26 1 1 6,8155 6,8155 6,8155 6,8155 377432 SEB Investment Management SEB Japanfond SEK 2005-10-27 1 1 6,8575 6,8575 6,8575 6,8575 377432 SEB Investment Management SEB Japanfond SEK 2005-10-28 1 1 6,8118 6,8118 6,8118 6,8118 377432 SEB Investment Management SEB Japanfond SEK 2005-10-31 1 1 6,9219 6,9219 6,9219 6,9219 377432 SEB Investment Management SEB Japanfond SEK 2005-11-01 1 1 7,0619 7,0619 7,0619 7,0619 377432 SEB Investment Management SEB Japanfond SEK 2005-11-02 1 1 7,0544 7,0544 7,0544 7,0544 377432 SEB Investment Management SEB Japanfond SEK 2005-11-04 1 1 7,1722 7,1722 7,1722 7,1722 377432 SEB Investment Management SEB Japanfond SEK 2005-11-07 1 1 7,2656 7,2656 7,2656 7,2656 377432 SEB Investment Management SEB Japanfond SEK 2005-11-08 1 1 7,2584 7,2584 7,2584 7,2584 377432 SEB Investment Management SEB Japanfond SEK 2005-11-09 1 1 7,267 7,267 7,267 7,267 377432 SEB Investment Management SEB Japanfond SEK 2005-11-10 1 1 7,2639 7,2639 7,2639 7,2639 377432 SEB Investment Management SEB Japanfond SEK 2005-11-11 1 1 7,2751 7,2751 7,2751 7,2751 377432 SEB Investment Management SEB Japanfond SEK 2005-11-14 1 1 7,1549 7,1549 7,1549 7,1549 377432 SEB Investment Management SEB Japanfond SEK 2005-11-15 1 1 7,1691 7,1691 7,1691 7,1691 377432 SEB Investment Management SEB Japanfond SEK 2005-11-16 1 1 7,2378 7,2378 7,2378 7,2378 377432 SEB Investment Management SEB Japanfond SEK 2005-11-17 1 1 7,3605 7,3605 7,3605 7,3605 377432 SEB Investment Management SEB Japanfond SEK 2005-11-18 1 1 7,396 7,396 7,396 7,396 377432 SEB Investment Management SEB Japanfond SEK 2005-11-21 1 1 7,3429 7,3429 7,3429 7,3429 377432 SEB Investment Management SEB Japanfond SEK 2005-11-22 1 1 7,3722 7,3722 7,3722 7,3722 377432 SEB Investment Management SEB Japanfond SEK 2005-11-24 1 1 7,2938 7,2938 7,2938 7,2938 377432 SEB Investment Management SEB Japanfond SEK 2005-11-25 1 1 7,2797 7,2797 7,2797 7,2797 377432 SEB Investment Management SEB Japanfond SEK 2005-11-28 1 1 7,3642 7,3642 7,3642 7,3642 377432 SEB Investment Management SEB Japanfond SEK 2005-11-29 1 1 7,3836 7,3836 7,3836 7,3836 377432 SEB Investment Management SEB Japanfond SEK 2005-11-30 1 1 7,3379 7,3379 7,3379 7,3379 377432 SEB Investment Management SEB Japanfond SEK 2005-12-01 1 1 7,4039 7,4039 7,4039 7,4039 377432 SEB Investment Management SEB Japanfond SEK 2005-12-02 1 1 7,4486 7,4486 7,4486 7,4486 377432 SEB Investment Management SEB Japanfond SEK 2005-12-05 1 1 7,4329 7,4329 7,4329 7,4329 377432 SEB Investment Management SEB Japanfond SEK 2005-12-06 1 1 7,3324 7,3324 7,3324 7,3324 377432 SEB Investment Management SEB Japanfond SEK 2005-12-07 1 1 7,4226 7,4226 7,4226 7,4226 377432 SEB Investment Management SEB Japanfond SEK 2005-12-08 1 1 7,2921 7,2921 7,2921 7,2921 377432 SEB Investment Management SEB Japanfond SEK 2005-12-12 1 1 7,4069 7,4069 7,4069 7,4069 377432 SEB Investment Management SEB Japanfond SEK 2005-12-13 1 1 7,458 7,458 7,458 7,458 377432 SEB Investment Management SEB Japanfond SEK 2005-12-14 1 1 7,4192 7,4192 7,4192 7,4192 377432 SEB Investment Management SEB Japanfond SEK 2005-12-15 1 1 7,4216 7,4216 7,4216 7,4216 377432 SEB Investment Management SEB Japanfond SEK 2005-12-16 1 1 7,4512 7,4512 7,4512 7,4512 377432 SEB Investment Management SEB Japanfond SEK 2005-12-19 1 1 7,4603 7,4603 7,4603 7,4603 377432 SEB Investment Management SEB Japanfond SEK 2005-12-20 1 1 7,5675 7,5675 7,5675 7,5675 377432 SEB Investment Management SEB Japanfond SEK 2005-12-21 1 1 7,7183 7,7183 7,7183 7,7183 377432 SEB Investment Management SEB Japanfond SEK 2005-12-22 1 1 7,7612 7,7612 7,7612 7,7612 377432 SEB Investment Management SEB Japanfond SEK 2005-12-27 1 1 7,7575 7,7575 7,7575 7,7575 377432 SEB Investment Management SEB Japanfond SEK 2005-12-28 1 1 7,7246 7,7246 7,7246 7,7246 377432 SEB Investment Management SEB Japanfond SEK 2005-12-29 1 1 7,7879 7,7879 7,7879 7,7879 377432 SEB Investment Management SEB Japanfond SEK 2005-12-30 1 1 7,7095 7,7095 7,7095 7,7095 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-03 1 1 5,4926 5,4926 5,4926 5,4926 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-04 1 1 5,505 5,505 5,505 5,505 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-05 1 1 5,5017 5,5017 5,5017 5,5017 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-07 1 1 5,5481 5,5481 5,5481 5,5481 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-10 1 1 5,5809 5,5809 5,5809 5,5809 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-11 1 1 5,5516 5,5516 5,5516 5,5516 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-12 1 1 5,5195 5,5195 5,5195 5,5195 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-13 1 1 5,5363 5,5363 5,5363 5,5363 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-14 1 1 5,5181 5,5181 5,5181 5,5181 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-17 1 1 5,5508 5,5508 5,5508 5,5508 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-18 1 1 5,5585 5,5585 5,5585 5,5585 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-19 1 1 5,5916 5,5916 5,5916 5,5916 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-20 1 1 5,5601 5,5601 5,5601 5,5601 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-21 1 1 5,5467 5,5467 5,5467 5,5467 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-24 1 1 5,5206 5,5206 5,5206 5,5206 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-25 1 1 5,5497 5,5497 5,5497 5,5497 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-26 1 1 5,5758 5,5758 5,5758 5,5758 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-27 1 1 5,5684 5,5684 5,5684 5,5684 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-28 1 1 5,5702 5,5702 5,5702 5,5702 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-01-31 1 1 5,5728 5,5728 5,5728 5,5728 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-01 1 1 5,5613 5,5613 5,5613 5,5613 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-02 1 1 5,5747 5,5747 5,5747 5,5747 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-03 1 1 5,6046 5,6046 5,6046 5,6046 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-04 1 1 5,6328 5,6328 5,6328 5,6328 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-07 1 1 5,6949 5,6949 5,6949 5,6949 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-08 1 1 5,7374 5,7374 5,7374 5,7374 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-09 1 1 5,7497 5,7497 5,7497 5,7497 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-10 1 1 5,6887 5,6887 5,6887 5,6887 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-11 1 1 5,7045 5,7045 5,7045 5,7045 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-14 1 1 5,7064 5,7064 5,7064 5,7064 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-15 1 1 5,7056 5,7056 5,7056 5,7056 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-16 1 1 5,7048 5,7048 5,7048 5,7048 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-17 1 1 5,6914 5,6914 5,6914 5,6914 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-18 1 1 5,6828 5,6828 5,6828 5,6828 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-21 1 1 5,7917 5,7917 5,7917 5,7917 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-22 1 1 5,7301 5,7301 5,7301 5,7301 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-23 1 1 5,6591 5,6591 5,6591 5,6591 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-24 1 1 5,6121 5,6121 5,6121 5,6121 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-25 1 1 5,6898 5,6898 5,6898 5,6898 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-02-28 1 1 5,6661 5,6661 5,6661 5,6661 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-01 1 1 5,6921 5,6921 5,6921 5,6921 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-02 1 1 5,7518 5,7518 5,7518 5,7518 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-03 1 1 5,7726 5,7726 5,7726 5,7726 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-04 1 1 5,7599 5,7599 5,7599 5,7599 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-07 1 1 5,75 5,75 5,75 5,75 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-08 1 1 5,6926 5,6926 5,6926 5,6926 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-09 1 1 5,6384 5,6384 5,6384 5,6384 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-10 1 1 5,6616 5,6616 5,6616 5,6616 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-11 1 1 5,6377 5,6377 5,6377 5,6377 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-14 1 1 5,6325 5,6325 5,6325 5,6325 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-15 1 1 5,7513 5,7513 5,7513 5,7513 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-16 1 1 5,6488 5,6488 5,6488 5,6488 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-17 1 1 5,6492 5,6492 5,6492 5,6492 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-18 1 1 5,6638 5,6638 5,6638 5,6638 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-21 1 1 5,7141 5,7141 5,7141 5,7141 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-22 1 1 5,721 5,721 5,721 5,721 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-23 1 1 5,7532 5,7532 5,7532 5,7532 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-24 1 1 5,8005 5,8005 5,8005 5,8005 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-29 1 1 5,8248 5,8248 5,8248 5,8248 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-30 1 1 5,7987 5,7987 5,7987 5,7987 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-03-31 1 1 5,8524 5,8524 5,8524 5,8524 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-01 1 1 5,8533 5,8533 5,8533 5,8533 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-04 1 1 5,871 5,871 5,871 5,871 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-05 1 1 5,969 5,969 5,969 5,969 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-06 1 1 5,9945 5,9945 5,9945 5,9945 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-07 1 1 5,9613 5,9613 5,9613 5,9613 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-08 1 1 6,0532 6,0532 6,0532 6,0532 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-11 1 1 5,9808 5,9808 5,9808 5,9808 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-12 1 1 5,9479 5,9479 5,9479 5,9479 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-13 1 1 6,0233 6,0233 6,0233 6,0233 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-14 1 1 6,0723 6,0723 6,0723 6,0723 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-15 1 1 6,0977 6,0977 6,0977 6,0977 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-18 1 1 5,9869 5,9869 5,9869 5,9869 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-19 1 1 6,0087 6,0087 6,0087 6,0087 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-20 1 1 5,9684 5,9684 5,9684 5,9684 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-21 1 1 5,9569 5,9569 5,9569 5,9569 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-22 1 1 5,9487 5,9487 5,9487 5,9487 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-25 1 1 5,9635 5,9635 5,9635 5,9635 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-26 1 1 5,9811 5,9811 5,9811 5,9811 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-27 1 1 5,9573 5,9573 5,9573 5,9573 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-28 1 1 6,0448 6,0448 6,0448 6,0448 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-04-29 1 1 6,0814 6,0814 6,0814 6,0814 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-02 1 1 6,169 6,169 6,169 6,169 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-03 1 1 6,1875 6,1875 6,1875 6,1875 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-04 1 1 6,1617 6,1617 6,1617 6,1617 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-06 1 1 6,2438 6,2438 6,2438 6,2438 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-09 1 1 6,2188 6,2188 6,2188 6,2188 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-10 1 1 6,226 6,226 6,226 6,226 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-11 1 1 6,2416 6,2416 6,2416 6,2416 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-12 1 1 6,3062 6,3062 6,3062 6,3062 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-13 1 1 6,2974 6,2974 6,2974 6,2974 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-16 1 1 6,2932 6,2932 6,2932 6,2932 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-17 1 1 6,3054 6,3054 6,3054 6,3054 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-18 1 1 6,3373 6,3373 6,3373 6,3373 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-19 1 1 6,322 6,322 6,322 6,322 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-20 1 1 6,3289 6,3289 6,3289 6,3289 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-23 1 1 6,3301 6,3301 6,3301 6,3301 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-24 1 1 6,3734 6,3734 6,3734 6,3734 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-25 1 1 6,3632 6,3632 6,3632 6,3632 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-26 1 1 6,4185 6,4185 6,4185 6,4185 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-27 1 1 6,4182 6,4182 6,4182 6,4182 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-30 1 1 6,4393 6,4393 6,4393 6,4393 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-05-31 1 1 6,4659 6,4659 6,4659 6,4659 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-01 1 1 6,4857 6,4857 6,4857 6,4857 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-02 1 1 6,5143 6,5143 6,5143 6,5143 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-03 1 1 6,5117 6,5117 6,5117 6,5117 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-07 1 1 6,5307 6,5307 6,5307 6,5307 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-08 1 1 6,5238 6,5238 6,5238 6,5238 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-09 1 1 6,5363 6,5363 6,5363 6,5363 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-10 1 1 6,6188 6,6188 6,6188 6,6188 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-13 1 1 6,6728 6,6728 6,6728 6,6728 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-14 1 1 6,7152 6,7152 6,7152 6,7152 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-15 1 1 6,6793 6,6793 6,6793 6,6793 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-16 1 1 6,6759 6,6759 6,6759 6,6759 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-17 1 1 6,6307 6,6307 6,6307 6,6307 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-20 1 1 6,6438 6,6438 6,6438 6,6438 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-21 1 1 6,6888 6,6888 6,6888 6,6888 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-22 1 1 6,745 6,745 6,745 6,745 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-23 1 1 6,8002 6,8002 6,8002 6,8002 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-27 1 1 6,6782 6,6782 6,6782 6,6782 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-28 1 1 6,74 6,74 6,74 6,74 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-29 1 1 6,8255 6,8255 6,8255 6,8255 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-06-30 1 1 6,8368 6,8368 6,8368 6,8368 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-01 1 1 6,8123 6,8123 6,8123 6,8123 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-04 1 1 6,8691 6,8691 6,8691 6,8691 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-05 1 1 6,8446 6,8446 6,8446 6,8446 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-06 1 1 6,8383 6,8383 6,8383 6,8383 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-07 1 1 6,7828 6,7828 6,7828 6,7828 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-08 1 1 6,8247 6,8247 6,8247 6,8247 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-11 1 1 6,9101 6,9101 6,9101 6,9101 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-12 1 1 6,7988 6,7988 6,7988 6,7988 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-13 1 1 6,7599 6,7599 6,7599 6,7599 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-14 1 1 6,8092 6,8092 6,8092 6,8092 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-15 1 1 6,8343 6,8343 6,8343 6,8343 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-18 1 1 6,8319 6,8319 6,8319 6,8319 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-19 1 1 6,8594 6,8594 6,8594 6,8594 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-20 1 1 6,9047 6,9047 6,9047 6,9047 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-21 1 1 6,8511 6,8511 6,8511 6,8511 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-22 1 1 6,8297 6,8297 6,8297 6,8297 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-25 1 1 6,8463 6,8463 6,8463 6,8463 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-26 1 1 6,9107 6,9107 6,9107 6,9107 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-27 1 1 6,9053 6,9053 6,9053 6,9053 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-28 1 1 6,9115 6,9115 6,9115 6,9115 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-07-29 1 1 6,9578 6,9578 6,9578 6,9578 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-01 1 1 6,9038 6,9038 6,9038 6,9038 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-02 1 1 6,9052 6,9052 6,9052 6,9052 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-03 1 1 6,8723 6,8723 6,8723 6,8723 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-04 1 1 6,8378 6,8378 6,8378 6,8378 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-05 1 1 6,7767 6,7767 6,7767 6,7767 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-08 1 1 6,7621 6,7621 6,7621 6,7621 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-09 1 1 6,77 6,77 6,77 6,77 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-10 1 1 6,8094 6,8094 6,8094 6,8094 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-11 1 1 6,7578 6,7578 6,7578 6,7578 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-12 1 1 6,7519 6,7519 6,7519 6,7519 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-15 1 1 6,7553 6,7553 6,7553 6,7553 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-16 1 1 6,8057 6,8057 6,8057 6,8057 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-17 1 1 6,7919 6,7919 6,7919 6,7919 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-18 1 1 6,8517 6,8517 6,8517 6,8517 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-19 1 1 6,8936 6,8936 6,8936 6,8936 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-22 1 1 6,8509 6,8509 6,8509 6,8509 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-23 1 1 6,7961 6,7961 6,7961 6,7961 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-24 1 1 6,7207 6,7207 6,7207 6,7207 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-25 1 1 6,7117 6,7117 6,7117 6,7117 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-26 1 1 6,6647 6,6647 6,6647 6,6647 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-29 1 1 6,6608 6,6608 6,6608 6,6608 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-30 1 1 6,7655 6,7655 6,7655 6,7655 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-08-31 1 1 6,7368 6,7368 6,7368 6,7368 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-01 1 1 6,7571 6,7571 6,7571 6,7571 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-02 1 1 6,6872 6,6872 6,6872 6,6872 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-05 1 1 6,687 6,687 6,687 6,687 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-06 1 1 6,7513 6,7513 6,7513 6,7513 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-07 1 1 6,8439 6,8439 6,8439 6,8439 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-08 1 1 6,8438 6,8438 6,8438 6,8438 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-09 1 1 6,8749 6,8749 6,8749 6,8749 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-12 1 1 6,9162 6,9162 6,9162 6,9162 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-13 1 1 6,8911 6,8911 6,8911 6,8911 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-14 1 1 6,8723 6,8723 6,8723 6,8723 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-15 1 1 6,9063 6,9063 6,9063 6,9063 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-16 1 1 6,9006 6,9006 6,9006 6,9006 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-19 1 1 6,9321 6,9321 6,9321 6,9321 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-20 1 1 6,9129 6,9129 6,9129 6,9129 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-21 1 1 6,8436 6,8436 6,8436 6,8436 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-22 1 1 6,8627 6,8627 6,8627 6,8627 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-23 1 1 6,9543 6,9543 6,9543 6,9543 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-26 1 1 7,0031 7,0031 7,0031 7,0031 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-27 1 1 6,9813 6,9813 6,9813 6,9813 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-28 1 1 6,9563 6,9563 6,9563 6,9563 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-29 1 1 6,9118 6,9118 6,9118 6,9118 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-09-30 1 1 6,9439 6,9439 6,9439 6,9439 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-03 1 1 7,0515 7,0515 7,0515 7,0515 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-04 1 1 7,071 7,071 7,071 7,071 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-05 1 1 7,071 7,071 7,071 7,071 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-06 1 1 6,9057 6,9057 6,9057 6,9057 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-07 1 1 6,9162 6,9162 6,9162 6,9162 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-10 1 1 6,9165 6,9165 6,9165 6,9165 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-11 1 1 6,9458 6,9458 6,9458 6,9458 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-12 1 1 6,9382 6,9382 6,9382 6,9382 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-13 1 1 6,9232 6,9232 6,9232 6,9232 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-14 1 1 6,9807 6,9807 6,9807 6,9807 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-17 1 1 6,9866 6,9866 6,9866 6,9866 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-18 1 1 7,0408 7,0408 7,0408 7,0408 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-19 1 1 7,0235 7,0235 7,0235 7,0235 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-20 1 1 7,0366 7,0366 7,0366 7,0366 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-21 1 1 6,9772 6,9772 6,9772 6,9772 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-24 1 1 7,0498 7,0498 7,0498 7,0498 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-25 1 1 6,9698 6,9698 6,9698 6,9698 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-26 1 1 6,9555 6,9555 6,9555 6,9555 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-27 1 1 6,8851 6,8851 6,8851 6,8851 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-28 1 1 6,9014 6,9014 6,9014 6,9014 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-10-31 1 1 7,0558 7,0558 7,0558 7,0558 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-01 1 1 7,1111 7,1111 7,1111 7,1111 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-02 1 1 7,1045 7,1045 7,1045 7,1045 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-03 1 1 7,1789 7,1789 7,1789 7,1789 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-04 1 1 7,1802 7,1802 7,1802 7,1802 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-07 1 1 7,2969 7,2969 7,2969 7,2969 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-08 1 1 7,2681 7,2681 7,2681 7,2681 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-09 1 1 7,2629 7,2629 7,2629 7,2629 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-10 1 1 7,3427 7,3427 7,3427 7,3427 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-11 1 1 7,3821 7,3821 7,3821 7,3821 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-14 1 1 7,3395 7,3395 7,3395 7,3395 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-15 1 1 7,3769 7,3769 7,3769 7,3769 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-16 1 1 7,3835 7,3835 7,3835 7,3835 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-17 1 1 7,3829 7,3829 7,3829 7,3829 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-18 1 1 7,3691 7,3691 7,3691 7,3691 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-21 1 1 7,2733 7,2733 7,2733 7,2733 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-22 1 1 7,3322 7,3322 7,3322 7,3322 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-23 1 1 7,2552 7,2552 7,2552 7,2552 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-24 1 1 7,2401 7,2401 7,2401 7,2401 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-25 1 1 7,2365 7,2365 7,2365 7,2365 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-28 1 1 7,2357 7,2357 7,2357 7,2357 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-29 1 1 7,2296 7,2296 7,2296 7,2296 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-11-30 1 1 7,2203 7,2203 7,2203 7,2203 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-01 1 1 7,2574 7,2574 7,2574 7,2574 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-02 1 1 7,141 7,141 7,141 7,141 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-05 1 1 7,1177 7,1177 7,1177 7,1177 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-06 1 1 7,0846 7,0846 7,0846 7,0846 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-07 1 1 7,1058 7,1058 7,1058 7,1058 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-08 1 1 7,0835 7,0835 7,0835 7,0835 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-12 1 1 7,0505 7,0505 7,0505 7,0505 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-13 1 1 7,0778 7,0778 7,0778 7,0778 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-14 1 1 7,0738 7,0738 7,0738 7,0738 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-15 1 1 7,0767 7,0767 7,0767 7,0767 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-16 1 1 7,1263 7,1263 7,1263 7,1263 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-19 1 1 7,1553 7,1553 7,1553 7,1553 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-20 1 1 7,1614 7,1614 7,1614 7,1614 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-21 1 1 7,2211 7,2211 7,2211 7,2211 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-22 1 1 7,2315 7,2315 7,2315 7,2315 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-23 1 1 7,2514 7,2514 7,2514 7,2514 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-27 1 1 7,2741 7,2741 7,2741 7,2741 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-28 1 1 7,168 7,168 7,168 7,168 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-29 1 1 7,2019 7,2019 7,2019 7,2019 229922 SEB Investment Management SEB Läkemedelsfond SEK 2005-12-30 1 1 7,14 7,14 7,14 7,14 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-03 1 1 5,2802 5,2802 5,2802 5,2802 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-04 1 1 5,2976 5,2976 5,2976 5,2976 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-05 1 1 5,2763 5,2763 5,2763 5,2763 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-07 1 1 5,3188 5,3188 5,3188 5,3188 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-10 1 1 5,3403 5,3403 5,3403 5,3403 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-11 1 1 5,2824 5,2824 5,2824 5,2824 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-12 1 1 5,2498 5,2498 5,2498 5,2498 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-13 1 1 5,2839 5,2839 5,2839 5,2839 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-14 1 1 5,2991 5,2991 5,2991 5,2991 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-18 1 1 5,3453 5,3453 5,3453 5,3453 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-19 1 1 5,3831 5,3831 5,3831 5,3831 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-20 1 1 5,3417 5,3417 5,3417 5,3417 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-21 1 1 5,3461 5,3461 5,3461 5,3461 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-24 1 1 5,2806 5,2806 5,2806 5,2806 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-25 1 1 5,3212 5,3212 5,3212 5,3212 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-26 1 1 5,327 5,327 5,327 5,327 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-27 1 1 5,338 5,338 5,338 5,338 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-28 1 1 5,3308 5,3308 5,3308 5,3308 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-01-31 1 1 5,3752 5,3752 5,3752 5,3752 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-01 1 1 5,3802 5,3802 5,3802 5,3802 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-02 1 1 5,4034 5,4034 5,4034 5,4034 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-03 1 1 5,4536 5,4536 5,4536 5,4536 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-04 1 1 5,4622 5,4622 5,4622 5,4622 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-07 1 1 5,561 5,561 5,561 5,561 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-08 1 1 5,6018 5,6018 5,6018 5,6018 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-09 1 1 5,5906 5,5906 5,5906 5,5906 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-10 1 1 5,5016 5,5016 5,5016 5,5016 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-11 1 1 5,5374 5,5374 5,5374 5,5374 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-14 1 1 5,5272 5,5272 5,5272 5,5272 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-15 1 1 5,509 5,509 5,509 5,509 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-16 1 1 5,5272 5,5272 5,5272 5,5272 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-17 1 1 5,5213 5,5213 5,5213 5,5213 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-18 1 1 5,4609 5,4609 5,4609 5,4609 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-22 1 1 5,3843 5,3843 5,3843 5,3843 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-23 1 1 5,3319 5,3319 5,3319 5,3319 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-24 1 1 5,3155 5,3155 5,3155 5,3155 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-25 1 1 5,3929 5,3929 5,3929 5,3929 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-02-28 1 1 5,4061 5,4061 5,4061 5,4061 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-01 1 1 5,4123 5,4123 5,4123 5,4123 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-02 1 1 5,4588 5,4588 5,4588 5,4588 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-03 1 1 5,4717 5,4717 5,4717 5,4717 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-04 1 1 5,4467 5,4467 5,4467 5,4467 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-07 1 1 5,4828 5,4828 5,4828 5,4828 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-08 1 1 5,42 5,42 5,42 5,42 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-09 1 1 5,3833 5,3833 5,3833 5,3833 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-10 1 1 5,3456 5,3456 5,3456 5,3456 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-11 1 1 5,3393 5,3393 5,3393 5,3393 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-14 1 1 5,3362 5,3362 5,3362 5,3362 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-15 1 1 5,4176 5,4176 5,4176 5,4176 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-16 1 1 5,2926 5,2926 5,2926 5,2926 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-17 1 1 5,3024 5,3024 5,3024 5,3024 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-18 1 1 5,3468 5,3468 5,3468 5,3468 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-21 1 1 5,3886 5,3886 5,3886 5,3886 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-22 1 1 5,3782 5,3782 5,3782 5,3782 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-23 1 1 5,3665 5,3665 5,3665 5,3665 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-24 1 1 5,3927 5,3927 5,3927 5,3927 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-29 1 1 5,4482 5,4482 5,4482 5,4482 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-30 1 1 5,3797 5,3797 5,3797 5,3797 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-03-31 1 1 5,4576 5,4576 5,4576 5,4576 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-01 1 1 5,462 5,462 5,462 5,462 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-04 1 1 5,4982 5,4982 5,4982 5,4982 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-05 1 1 5,5536 5,5536 5,5536 5,5536 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-06 1 1 5,5341 5,5341 5,5341 5,5341 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-07 1 1 5,513 5,513 5,513 5,513 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-08 1 1 5,5841 5,5841 5,5841 5,5841 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-11 1 1 5,473 5,473 5,473 5,473 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-12 1 1 5,4647 5,4647 5,4647 5,4647 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-13 1 1 5,5208 5,5208 5,5208 5,5208 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-14 1 1 5,5271 5,5271 5,5271 5,5271 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-15 1 1 5,4144 5,4144 5,4144 5,4144 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-18 1 1 5,3164 5,3164 5,3164 5,3164 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-19 1 1 5,3418 5,3418 5,3418 5,3418 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-20 1 1 5,3014 5,3014 5,3014 5,3014 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-21 1 1 5,3001 5,3001 5,3001 5,3001 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-22 1 1 5,3124 5,3124 5,3124 5,3124 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-25 1 1 5,3442 5,3442 5,3442 5,3442 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-26 1 1 5,3425 5,3425 5,3425 5,3425 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-27 1 1 5,2841 5,2841 5,2841 5,2841 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-28 1 1 5,3272 5,3272 5,3272 5,3272 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-04-29 1 1 5,3413 5,3413 5,3413 5,3413 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-02 1 1 5,4456 5,4456 5,4456 5,4456 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-03 1 1 5,4541 5,4541 5,4541 5,4541 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-04 1 1 5,4078 5,4078 5,4078 5,4078 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-06 1 1 5,5042 5,5042 5,5042 5,5042 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-09 1 1 5,4974 5,4974 5,4974 5,4974 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-10 1 1 5,4903 5,4903 5,4903 5,4903 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-11 1 1 5,5099 5,5099 5,5099 5,5099 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-12 1 1 5,555 5,555 5,555 5,555 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-13 1 1 5,5283 5,5283 5,5283 5,5283 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-16 1 1 5,5472 5,5472 5,5472 5,5472 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-17 1 1 5,5703 5,5703 5,5703 5,5703 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-18 1 1 5,6492 5,6492 5,6492 5,6492 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-19 1 1 5,6784 5,6784 5,6784 5,6784 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-20 1 1 5,7016 5,7016 5,7016 5,7016 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-23 1 1 5,712 5,712 5,712 5,712 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-24 1 1 5,7055 5,7055 5,7055 5,7055 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-25 1 1 5,6832 5,6832 5,6832 5,6832 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-26 1 1 5,7422 5,7422 5,7422 5,7422 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-27 1 1 5,7479 5,7479 5,7479 5,7479 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-05-31 1 1 5,7852 5,7852 5,7852 5,7852 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-01 1 1 5,8223 5,8223 5,8223 5,8223 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-02 1 1 5,8718 5,8718 5,8718 5,8718 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-03 1 1 5,867 5,867 5,867 5,867 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-07 1 1 5,8813 5,8813 5,8813 5,8813 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-08 1 1 5,869 5,869 5,869 5,869 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-09 1 1 5,8758 5,8758 5,8758 5,8758 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-10 1 1 5,9621 5,9621 5,9621 5,9621 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-13 1 1 6,0287 6,0287 6,0287 6,0287 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-14 1 1 6,0639 6,0639 6,0639 6,0639 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-15 1 1 6,041 6,041 6,041 6,041 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-16 1 1 6,0558 6,0558 6,0558 6,0558 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-17 1 1 6,0306 6,0306 6,0306 6,0306 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-20 1 1 6,0267 6,0267 6,0267 6,0267 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-21 1 1 6,054 6,054 6,054 6,054 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-22 1 1 6,104 6,104 6,104 6,104 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-23 1 1 6,1703 6,1703 6,1703 6,1703 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-27 1 1 6,0097 6,0097 6,0097 6,0097 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-28 1 1 6,0802 6,0802 6,0802 6,0802 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-29 1 1 6,1595 6,1595 6,1595 6,1595 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-06-30 1 1 6,1696 6,1696 6,1696 6,1696 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-01 1 1 6,151 6,151 6,151 6,151 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-05 1 1 6,1965 6,1965 6,1965 6,1965 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-06 1 1 6,2138 6,2138 6,2138 6,2138 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-07 1 1 6,1385 6,1385 6,1385 6,1385 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-08 1 1 6,2013 6,2013 6,2013 6,2013 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-11 1 1 6,2924 6,2924 6,2924 6,2924 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-12 1 1 6,197 6,197 6,197 6,197 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-13 1 1 6,1974 6,1974 6,1974 6,1974 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-14 1 1 6,2612 6,2612 6,2612 6,2612 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-15 1 1 6,2708 6,2708 6,2708 6,2708 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-18 1 1 6,26 6,26 6,26 6,26 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-19 1 1 6,339 6,339 6,339 6,339 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-20 1 1 6,3225 6,3225 6,3225 6,3225 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-21 1 1 6,3128 6,3128 6,3128 6,3128 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-22 1 1 6,2965 6,2965 6,2965 6,2965 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-25 1 1 6,3296 6,3296 6,3296 6,3296 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-26 1 1 6,3824 6,3824 6,3824 6,3824 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-27 1 1 6,3584 6,3584 6,3584 6,3584 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-28 1 1 6,3461 6,3461 6,3461 6,3461 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-07-29 1 1 6,3559 6,3559 6,3559 6,3559 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-01 1 1 6,2628 6,2628 6,2628 6,2628 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-02 1 1 6,2558 6,2558 6,2558 6,2558 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-03 1 1 6,2225 6,2225 6,2225 6,2225 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-04 1 1 6,1771 6,1771 6,1771 6,1771 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-05 1 1 6,1312 6,1312 6,1312 6,1312 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-08 1 1 6,1076 6,1076 6,1076 6,1076 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-09 1 1 6,1259 6,1259 6,1259 6,1259 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-10 1 1 6,1524 6,1524 6,1524 6,1524 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-11 1 1 6,0715 6,0715 6,0715 6,0715 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-12 1 1 6,0619 6,0619 6,0619 6,0619 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-15 1 1 6,0698 6,0698 6,0698 6,0698 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-16 1 1 6,1088 6,1088 6,1088 6,1088 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-17 1 1 6,0779 6,0779 6,0779 6,0779 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-18 1 1 6,1181 6,1181 6,1181 6,1181 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-19 1 1 6,161 6,161 6,161 6,161 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-22 1 1 6,1592 6,1592 6,1592 6,1592 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-23 1 1 6,1156 6,1156 6,1156 6,1156 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-24 1 1 6,0595 6,0595 6,0595 6,0595 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-25 1 1 6,0268 6,0268 6,0268 6,0268 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-26 1 1 5,9857 5,9857 5,9857 5,9857 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-29 1 1 5,9828 5,9828 5,9828 5,9828 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-30 1 1 6,0664 6,0664 6,0664 6,0664 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-08-31 1 1 6,0223 6,0223 6,0223 6,0223 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-01 1 1 6,0309 6,0309 6,0309 6,0309 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-02 1 1 5,9404 5,9404 5,9404 5,9404 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-06 1 1 5,9872 5,9872 5,9872 5,9872 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-07 1 1 6,0621 6,0621 6,0621 6,0621 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-08 1 1 6,0697 6,0697 6,0697 6,0697 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-09 1 1 6,0982 6,0982 6,0982 6,0982 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-12 1 1 6,159 6,159 6,159 6,159 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-13 1 1 6,1603 6,1603 6,1603 6,1603 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-14 1 1 6,1336 6,1336 6,1336 6,1336 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-15 1 1 6,1637 6,1637 6,1637 6,1637 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-16 1 1 6,1706 6,1706 6,1706 6,1706 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-19 1 1 6,2155 6,2155 6,2155 6,2155 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-20 1 1 6,1968 6,1968 6,1968 6,1968 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-21 1 1 6,0931 6,0931 6,0931 6,0931 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-22 1 1 6,0952 6,0952 6,0952 6,0952 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-23 1 1 6,1647 6,1647 6,1647 6,1647 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-26 1 1 6,2186 6,2186 6,2186 6,2186 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-27 1 1 6,233 6,233 6,233 6,233 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-28 1 1 6,2391 6,2391 6,2391 6,2391 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-29 1 1 6,1868 6,1868 6,1868 6,1868 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-09-30 1 1 6,2556 6,2556 6,2556 6,2556 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-03 1 1 6,3302 6,3302 6,3302 6,3302 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-04 1 1 6,3031 6,3031 6,3031 6,3031 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-05 1 1 6,2331 6,2331 6,2331 6,2331 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-06 1 1 6,0718 6,0718 6,0718 6,0718 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-07 1 1 6,085 6,085 6,085 6,085 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-10 1 1 6,0976 6,0976 6,0976 6,0976 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-11 1 1 6,1085 6,1085 6,1085 6,1085 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-12 1 1 6,0874 6,0874 6,0874 6,0874 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-13 1 1 6,0877 6,0877 6,0877 6,0877 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-14 1 1 6,1164 6,1164 6,1164 6,1164 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-17 1 1 6,1839 6,1839 6,1839 6,1839 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-18 1 1 6,2138 6,2138 6,2138 6,2138 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-19 1 1 6,1431 6,1431 6,1431 6,1431 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-20 1 1 6,2548 6,2548 6,2548 6,2548 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-21 1 1 6,1807 6,1807 6,1807 6,1807 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-24 1 1 6,2776 6,2776 6,2776 6,2776 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-25 1 1 6,2267 6,2267 6,2267 6,2267 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-26 1 1 6,2332 6,2332 6,2332 6,2332 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-27 1 1 6,1614 6,1614 6,1614 6,1614 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-28 1 1 6,1645 6,1645 6,1645 6,1645 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-10-31 1 1 6,3374 6,3374 6,3374 6,3374 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-01 1 1 6,376 6,376 6,376 6,376 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-02 1 1 6,3612 6,3612 6,3612 6,3612 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-03 1 1 6,4676 6,4676 6,4676 6,4676 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-04 1 1 6,4664 6,4664 6,4664 6,4664 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-07 1 1 6,5679 6,5679 6,5679 6,5679 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-08 1 1 6,5169 6,5169 6,5169 6,5169 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-09 1 1 6,5474 6,5474 6,5474 6,5474 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-10 1 1 6,5966 6,5966 6,5966 6,5966 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-11 1 1 6,6411 6,6411 6,6411 6,6411 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-14 1 1 6,6474 6,6474 6,6474 6,6474 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-15 1 1 6,675 6,675 6,675 6,675 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-16 1 1 6,6904 6,6904 6,6904 6,6904 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-17 1 1 6,714 6,714 6,714 6,714 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-18 1 1 6,7094 6,7094 6,7094 6,7094 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-21 1 1 6,6563 6,6563 6,6563 6,6563 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-22 1 1 6,7381 6,7381 6,7381 6,7381 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-23 1 1 6,7046 6,7046 6,7046 6,7046 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-25 1 1 6,7149 6,7149 6,7149 6,7149 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-28 1 1 6,6974 6,6974 6,6974 6,6974 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-29 1 1 6,7005 6,7005 6,7005 6,7005 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-11-30 1 1 6,6943 6,6943 6,6943 6,6943 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-01 1 1 6,717 6,717 6,717 6,717 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-02 1 1 6,7104 6,7104 6,7104 6,7104 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-05 1 1 6,6673 6,6673 6,6673 6,6673 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-06 1 1 6,6339 6,6339 6,6339 6,6339 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-07 1 1 6,661 6,661 6,661 6,661 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-08 1 1 6,611 6,611 6,611 6,611 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-12 1 1 6,5735 6,5735 6,5735 6,5735 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-13 1 1 6,5733 6,5733 6,5733 6,5733 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-14 1 1 6,5685 6,5685 6,5685 6,5685 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-15 1 1 6,5829 6,5829 6,5829 6,5829 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-16 1 1 6,6067 6,6067 6,6067 6,6067 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-19 1 1 6,539 6,539 6,539 6,539 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-20 1 1 6,5407 6,5407 6,5407 6,5407 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-21 1 1 6,6232 6,6232 6,6232 6,6232 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-22 1 1 6,6226 6,6226 6,6226 6,6226 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-23 1 1 6,6525 6,6525 6,6525 6,6525 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-27 1 1 6,6717 6,6717 6,6717 6,6717 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-28 1 1 6,5403 6,5403 6,5403 6,5403 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-29 1 1 6,5785 6,5785 6,5785 6,5785 986604 SEB Investment Management SEB Nordamerikafond SEK 2005-12-30 1 1 6,5253 6,5253 6,5253 6,5253 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-11 1 1 11,1468 11,1468 11,1468 11,1468 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-14 1 1 11,1859 11,1859 11,1859 11,1859 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-15 1 1 11,2469 11,2469 11,2469 11,2469 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-16 1 1 11,1796 11,1796 11,1796 11,1796 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-17 1 1 11,2787 11,2787 11,2787 11,2787 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-18 1 1 11,2491 11,2491 11,2491 11,2491 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-21 1 1 11,2892 11,2892 11,2892 11,2892 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-22 1 1 11,2061 11,2061 11,2061 11,2061 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-23 1 1 11,2312 11,2312 11,2312 11,2312 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-24 1 1 11,2917 11,2917 11,2917 11,2917 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-25 1 1 11,3642 11,3642 11,3642 11,3642 484923 SEB Investment Management SEB Nordenfond SEK 2005-02-28 1 1 11,412 11,412 11,412 11,412 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-01 1 1 11,4468 11,4468 11,4468 11,4468 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-02 1 1 11,458 11,458 11,458 11,458 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-03 1 1 11,5178 11,5178 11,5178 11,5178 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-04 1 1 11,6035 11,6035 11,6035 11,6035 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-07 1 1 11,6188 11,6188 11,6188 11,6188 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-08 1 1 11,5507 11,5507 11,5507 11,5507 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-09 1 1 11,5446 11,5446 11,5446 11,5446 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-10 1 1 11,4587 11,4587 11,4587 11,4587 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-11 1 1 11,502 11,502 11,502 11,502 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-14 1 1 11,518 11,518 11,518 11,518 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-15 1 1 11,5789 11,5789 11,5789 11,5789 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-16 1 1 11,4628 11,4628 11,4628 11,4628 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-17 1 1 11,5123 11,5123 11,5123 11,5123 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-18 1 1 11,5534 11,5534 11,5534 11,5534 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-21 1 1 11,5371 11,5371 11,5371 11,5371 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-22 1 1 11,5178 11,5178 11,5178 11,5178 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-23 1 1 11,4201 11,4201 11,4201 11,4201 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-24 1 1 11,4257 11,4257 11,4257 11,4257 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-29 1 1 11,4512 11,4512 11,4512 11,4512 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-30 1 1 11,407 11,407 11,407 11,407 484923 SEB Investment Management SEB Nordenfond SEK 2005-03-31 1 1 11,5099 11,5099 11,5099 11,5099 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-01 1 1 11,6144 11,6144 11,6144 11,6144 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-04 1 1 11,6213 11,6213 11,6213 11,6213 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-05 1 1 11,7177 11,7177 11,7177 11,7177 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-06 1 1 11,77 11,77 11,77 11,77 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-07 1 1 11,8338 11,8338 11,8338 11,8338 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-08 1 1 11,9045 11,9045 11,9045 11,9045 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-11 1 1 11,8713 11,8713 11,8713 11,8713 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-12 1 1 11,8654 11,8654 11,8654 11,8654 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-13 1 1 11,8787 11,8787 11,8787 11,8787 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-14 1 1 11,8961 11,8961 11,8961 11,8961 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-15 1 1 11,6946 11,6946 11,6946 11,6946 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-18 1 1 11,506 11,506 11,506 11,506 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-19 1 1 11,5908 11,5908 11,5908 11,5908 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-20 1 1 11,6622 11,6622 11,6622 11,6622 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-21 1 1 11,6979 11,6979 11,6979 11,6979 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-22 1 1 11,7889 11,7889 11,7889 11,7889 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-25 1 1 11,7934 11,7934 11,7934 11,7934 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-26 1 1 11,7234 11,7234 11,7234 11,7234 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-27 1 1 11,4921 11,4921 11,4921 11,4921 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-28 1 1 11,3656 11,3656 11,3656 11,3656 484923 SEB Investment Management SEB Nordenfond SEK 2005-04-29 1 1 11,4056 11,4056 11,4056 11,4056 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-02 1 1 11,4777 11,4777 11,4777 11,4777 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-03 1 1 11,5303 11,5303 11,5303 11,5303 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-04 1 1 11,5615 11,5615 11,5615 11,5615 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-06 1 1 11,6923 11,6923 11,6923 11,6923 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-09 1 1 11,7272 11,7272 11,7272 11,7272 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-10 1 1 11,7325 11,7325 11,7325 11,7325 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-11 1 1 11,754 11,754 11,754 11,754 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-12 1 1 11,7936 11,7936 11,7936 11,7936 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-13 1 1 11,7924 11,7924 11,7924 11,7924 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-16 1 1 11,8018 11,8018 11,8018 11,8018 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-17 1 1 11,7963 11,7963 11,7963 11,7963 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-18 1 1 11,9105 11,9105 11,9105 11,9105 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-19 1 1 11,9284 11,9284 11,9284 11,9284 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-20 1 1 11,9553 11,9553 11,9553 11,9553 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-23 1 1 11,946 11,946 11,946 11,946 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-24 1 1 12,0081 12,0081 12,0081 12,0081 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-25 1 1 12,0656 12,0656 12,0656 12,0656 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-26 1 1 12,1523 12,1523 12,1523 12,1523 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-27 1 1 12,1914 12,1914 12,1914 12,1914 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-30 1 1 12,211 12,211 12,211 12,211 484923 SEB Investment Management SEB Nordenfond SEK 2005-05-31 1 1 12,213 12,213 12,213 12,213 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-01 1 1 12,2643 12,2643 12,2643 12,2643 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-02 1 1 12,2777 12,2777 12,2777 12,2777 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-03 1 1 12,2411 12,2411 12,2411 12,2411 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-07 1 1 12,3085 12,3085 12,3085 12,3085 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-08 1 1 12,4354 12,4354 12,4354 12,4354 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-09 1 1 12,4376 12,4376 12,4376 12,4376 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-10 1 1 12,5794 12,5794 12,5794 12,5794 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-13 1 1 12,6029 12,6029 12,6029 12,6029 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-14 1 1 12,6746 12,6746 12,6746 12,6746 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-15 1 1 12,6735 12,6735 12,6735 12,6735 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-16 1 1 12,7111 12,7111 12,7111 12,7111 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-17 1 1 12,771 12,771 12,771 12,771 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-20 1 1 12,7711 12,7711 12,7711 12,7711 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-21 1 1 12,8434 12,8434 12,8434 12,8434 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-22 1 1 12,9158 12,9158 12,9158 12,9158 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-23 1 1 13,0271 13,0271 13,0271 13,0271 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-27 1 1 12,8469 12,8469 12,8469 12,8469 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-28 1 1 12,9538 12,9538 12,9538 12,9538 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-29 1 1 13,0901 13,0901 13,0901 13,0901 484923 SEB Investment Management SEB Nordenfond SEK 2005-06-30 1 1 13,1444 13,1444 13,1444 13,1444 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-01 1 1 13,2254 13,2254 13,2254 13,2254 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-04 1 1 13,34 13,34 13,34 13,34 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-05 1 1 13,3015 13,3015 13,3015 13,3015 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-06 1 1 13,3702 13,3702 13,3702 13,3702 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-07 1 1 13,1721 13,1721 13,1721 13,1721 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-08 1 1 13,4379 13,4379 13,4379 13,4379 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-11 1 1 13,5663 13,5663 13,5663 13,5663 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-12 1 1 13,5245 13,5245 13,5245 13,5245 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-13 1 1 13,5201 13,5201 13,5201 13,5201 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-14 1 1 13,5747 13,5747 13,5747 13,5747 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-15 1 1 13,4744 13,4744 13,4744 13,4744 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-18 1 1 13,4798 13,4798 13,4798 13,4798 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-19 1 1 13,4885 13,4885 13,4885 13,4885 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-20 1 1 13,4632 13,4632 13,4632 13,4632 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-21 1 1 13,4558 13,4558 13,4558 13,4558 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-22 1 1 13,5127 13,5127 13,5127 13,5127 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-25 1 1 13,5795 13,5795 13,5795 13,5795 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-26 1 1 13,6399 13,6399 13,6399 13,6399 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-27 1 1 13,6743 13,6743 13,6743 13,6743 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-28 1 1 13,7068 13,7068 13,7068 13,7068 484923 SEB Investment Management SEB Nordenfond SEK 2005-07-29 1 1 13,7363 13,7363 13,7363 13,7363 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-01 1 1 13,7514 13,7514 13,7514 13,7514 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-02 1 1 13,8157 13,8157 13,8157 13,8157 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-03 1 1 13,8508 13,8508 13,8508 13,8508 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-04 1 1 13,7363 13,7363 13,7363 13,7363 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-05 1 1 13,7303 13,7303 13,7303 13,7303 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-08 1 1 13,7813 13,7813 13,7813 13,7813 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-09 1 1 13,9043 13,9043 13,9043 13,9043 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-10 1 1 13,9891 13,9891 13,9891 13,9891 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-11 1 1 13,9359 13,9359 13,9359 13,9359 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-12 1 1 13,9449 13,9449 13,9449 13,9449 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-15 1 1 13,9107 13,9107 13,9107 13,9107 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-16 1 1 13,8765 13,8765 13,8765 13,8765 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-17 1 1 13,7901 13,7901 13,7901 13,7901 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-18 1 1 13,7976 13,7976 13,7976 13,7976 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-19 1 1 13,923 13,923 13,923 13,923 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-22 1 1 13,9446 13,9446 13,9446 13,9446 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-23 1 1 13,8851 13,8851 13,8851 13,8851 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-24 1 1 13,7137 13,7137 13,7137 13,7137 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-25 1 1 13,6752 13,6752 13,6752 13,6752 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-26 1 1 13,6071 13,6071 13,6071 13,6071 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-29 1 1 13,627 13,627 13,627 13,627 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-30 1 1 13,7211 13,7211 13,7211 13,7211 484923 SEB Investment Management SEB Nordenfond SEK 2005-08-31 1 1 13,8004 13,8004 13,8004 13,8004 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-01 1 1 13,9884 13,9884 13,9884 13,9884 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-02 1 1 13,917 13,917 13,917 13,917 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-05 1 1 13,9241 13,9241 13,9241 13,9241 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-06 1 1 14,0059 14,0059 14,0059 14,0059 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-07 1 1 14,0373 14,0373 14,0373 14,0373 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-08 1 1 13,9866 13,9866 13,9866 13,9866 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-09 1 1 14,0586 14,0586 14,0586 14,0586 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-12 1 1 14,093 14,093 14,093 14,093 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-13 1 1 14,1496 14,1496 14,1496 14,1496 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-14 1 1 14,2009 14,2009 14,2009 14,2009 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-15 1 1 14,2398 14,2398 14,2398 14,2398 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-16 1 1 14,2751 14,2751 14,2751 14,2751 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-19 1 1 14,3171 14,3171 14,3171 14,3171 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-20 1 1 14,366 14,366 14,366 14,366 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-21 1 1 14,3118 14,3118 14,3118 14,3118 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-22 1 1 14,3186 14,3186 14,3186 14,3186 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-23 1 1 14,3065 14,3065 14,3065 14,3065 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-26 1 1 14,3072 14,3072 14,3072 14,3072 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-27 1 1 14,3923 14,3923 14,3923 14,3923 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-28 1 1 14,4321 14,4321 14,4321 14,4321 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-29 1 1 14,4457 14,4457 14,4457 14,4457 484923 SEB Investment Management SEB Nordenfond SEK 2005-09-30 1 1 14,4571 14,4571 14,4571 14,4571 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-03 1 1 14,5278 14,5278 14,5278 14,5278 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-04 1 1 14,4611 14,4611 14,4611 14,4611 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-05 1 1 14,3088 14,3088 14,3088 14,3088 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-06 1 1 14,0679 14,0679 14,0679 14,0679 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-07 1 1 14,0784 14,0784 14,0784 14,0784 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-10 1 1 14,1442 14,1442 14,1442 14,1442 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-11 1 1 14,1397 14,1397 14,1397 14,1397 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-12 1 1 14,0803 14,0803 14,0803 14,0803 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-13 1 1 13,8156 13,8156 13,8156 13,8156 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-14 1 1 13,8466 13,8466 13,8466 13,8466 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-17 1 1 13,9314 13,9314 13,9314 13,9314 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-18 1 1 13,7744 13,7744 13,7744 13,7744 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-19 1 1 13,5264 13,5264 13,5264 13,5264 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-20 1 1 13,617 13,617 13,617 13,617 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-21 1 1 13,463 13,463 13,463 13,463 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-24 1 1 13,6728 13,6728 13,6728 13,6728 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-25 1 1 13,7373 13,7373 13,7373 13,7373 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-26 1 1 13,8457 13,8457 13,8457 13,8457 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-27 1 1 13,7423 13,7423 13,7423 13,7423 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-28 1 1 13,6606 13,6606 13,6606 13,6606 484923 SEB Investment Management SEB Nordenfond SEK 2005-10-31 1 1 13,978 13,978 13,978 13,978 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-01 1 1 14,119 14,119 14,119 14,119 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-02 1 1 14,1231 14,1231 14,1231 14,1231 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-03 1 1 14,4163 14,4163 14,4163 14,4163 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-04 1 1 14,4226 14,4226 14,4226 14,4226 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-07 1 1 14,4915 14,4915 14,4915 14,4915 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-08 1 1 14,3612 14,3612 14,3612 14,3612 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-09 1 1 14,4424 14,4424 14,4424 14,4424 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-10 1 1 14,46 14,46 14,46 14,46 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-11 1 1 14,4263 14,4263 14,4263 14,4263 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-14 1 1 14,4813 14,4813 14,4813 14,4813 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-15 1 1 14,4852 14,4852 14,4852 14,4852 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-16 1 1 14,4152 14,4152 14,4152 14,4152 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-17 1 1 14,5451 14,5451 14,5451 14,5451 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-18 1 1 14,565 14,565 14,565 14,565 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-21 1 1 14,5614 14,5614 14,5614 14,5614 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-22 1 1 14,6149 14,6149 14,6149 14,6149 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-23 1 1 14,5912 14,5912 14,5912 14,5912 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-24 1 1 14,5552 14,5552 14,5552 14,5552 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-25 1 1 14,6093 14,6093 14,6093 14,6093 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-28 1 1 14,5989 14,5989 14,5989 14,5989 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-29 1 1 14,5098 14,5098 14,5098 14,5098 484923 SEB Investment Management SEB Nordenfond SEK 2005-11-30 1 1 14,4623 14,4623 14,4623 14,4623 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-01 1 1 14,6003 14,6003 14,6003 14,6003 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-02 1 1 14,5623 14,5623 14,5623 14,5623 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-05 1 1 14,6065 14,6065 14,6065 14,6065 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-06 1 1 14,62 14,62 14,62 14,62 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-07 1 1 14,734 14,734 14,734 14,734 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-08 1 1 14,7882 14,7882 14,7882 14,7882 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-12 1 1 14,7951 14,7951 14,7951 14,7951 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-13 1 1 14,8223 14,8223 14,8223 14,8223 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-14 1 1 14,8295 14,8295 14,8295 14,8295 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-15 1 1 14,7661 14,7661 14,7661 14,7661 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-16 1 1 14,8318 14,8318 14,8318 14,8318 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-19 1 1 14,7727 14,7727 14,7727 14,7727 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-20 1 1 14,7454 14,7454 14,7454 14,7454 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-21 1 1 14,8665 14,8665 14,8665 14,8665 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-22 1 1 14,9523 14,9523 14,9523 14,9523 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-23 1 1 15,0657 15,0657 15,0657 15,0657 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-27 1 1 15,154 15,154 15,154 15,154 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-28 1 1 15,074 15,074 15,074 15,074 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-29 1 1 15,1393 15,1393 15,1393 15,1393 484923 SEB Investment Management SEB Nordenfond SEK 2005-12-30 1 1 15,0971 15,0971 15,0971 15,0971 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-11 1 1 10,3239 10,3239 10,3239 10,3239 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-14 1 1 10,32 10,32 10,32 10,32 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-15 1 1 10,319 10,319 10,319 10,319 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-16 1 1 10,3214 10,3214 10,3214 10,3214 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-17 1 1 10,3216 10,3216 10,3216 10,3216 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-18 1 1 10,3068 10,3068 10,3068 10,3068 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-21 1 1 10,302 10,302 10,302 10,302 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-22 1 1 10,2972 10,2972 10,2972 10,2972 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-23 1 1 10,3047 10,3047 10,3047 10,3047 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-24 1 1 10,2988 10,2988 10,2988 10,2988 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-25 1 1 10,2962 10,2962 10,2962 10,2962 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-02-28 1 1 10,3038 10,3038 10,3038 10,3038 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-01 1 1 10,3042 10,3042 10,3042 10,3042 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-02 1 1 10,2951 10,2951 10,2951 10,2951 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-03 1 1 10,2998 10,2998 10,2998 10,2998 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-04 1 1 10,3101 10,3101 10,3101 10,3101 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-07 1 1 10,3169 10,3169 10,3169 10,3169 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-08 1 1 10,3206 10,3206 10,3206 10,3206 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-09 1 1 10,3131 10,3131 10,3131 10,3131 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-10 1 1 10,3139 10,3139 10,3139 10,3139 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-11 1 1 10,3062 10,3062 10,3062 10,3062 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-14 1 1 10,307 10,307 10,307 10,307 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-15 1 1 10,3159 10,3159 10,3159 10,3159 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-16 1 1 10,3095 10,3095 10,3095 10,3095 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-17 1 1 10,3128 10,3128 10,3128 10,3128 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-18 1 1 10,3111 10,3111 10,3111 10,3111 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-21 1 1 10,3083 10,3083 10,3083 10,3083 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-22 1 1 10,3132 10,3132 10,3132 10,3132 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-23 1 1 10,3103 10,3103 10,3103 10,3103 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-24 1 1 10,3138 10,3138 10,3138 10,3138 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-29 1 1 10,3183 10,3183 10,3183 10,3183 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-30 1 1 10,3211 10,3211 10,3211 10,3211 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-03-31 1 1 10,332 10,332 10,332 10,332 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-01 1 1 10,3394 10,3394 10,3394 10,3394 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-04 1 1 10,3436 10,3436 10,3436 10,3436 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-05 1 1 10,3438 10,3438 10,3438 10,3438 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-06 1 1 10,3458 10,3458 10,3458 10,3458 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-07 1 1 10,3483 10,3483 10,3483 10,3483 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-08 1 1 10,3424 10,3424 10,3424 10,3424 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-11 1 1 10,3483 10,3483 10,3483 10,3483 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-12 1 1 10,3497 10,3497 10,3497 10,3497 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-13 1 1 10,3564 10,3564 10,3564 10,3564 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-14 1 1 10,3609 10,3609 10,3609 10,3609 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-15 1 1 10,3707 10,3707 10,3707 10,3707 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-18 1 1 10,3743 10,3743 10,3743 10,3743 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-19 1 1 10,3769 10,3769 10,3769 10,3769 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-20 1 1 10,3761 10,3761 10,3761 10,3761 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-21 1 1 10,3773 10,3773 10,3773 10,3773 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-22 1 1 10,3842 10,3842 10,3842 10,3842 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-25 1 1 10,3903 10,3903 10,3903 10,3903 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-26 1 1 10,3947 10,3947 10,3947 10,3947 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-27 1 1 10,4025 10,4025 10,4025 10,4025 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-28 1 1 10,4085 10,4085 10,4085 10,4085 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-04-29 1 1 10,4116 10,4116 10,4116 10,4116 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-02 1 1 10,4163 10,4163 10,4163 10,4163 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-03 1 1 10,419 10,419 10,419 10,419 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-04 1 1 10,407 10,407 10,407 10,407 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-06 1 1 10,3997 10,3997 10,3997 10,3997 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-09 1 1 10,4049 10,4049 10,4049 10,4049 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-10 1 1 10,4062 10,4062 10,4062 10,4062 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-11 1 1 10,4261 10,4261 10,4261 10,4261 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-12 1 1 10,4213 10,4213 10,4213 10,4213 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-13 1 1 10,4313 10,4313 10,4313 10,4313 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-16 1 1 10,4362 10,4362 10,4362 10,4362 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-17 1 1 10,4375 10,4375 10,4375 10,4375 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-18 1 1 10,4497 10,4497 10,4497 10,4497 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-19 1 1 10,4468 10,4468 10,4468 10,4468 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-20 1 1 10,4373 10,4373 10,4373 10,4373 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-23 1 1 10,4411 10,4411 10,4411 10,4411 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-24 1 1 10,4465 10,4465 10,4465 10,4465 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-25 1 1 10,4517 10,4517 10,4517 10,4517 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-26 1 1 10,4446 10,4446 10,4446 10,4446 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-27 1 1 10,4462 10,4462 10,4462 10,4462 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-30 1 1 10,4421 10,4421 10,4421 10,4421 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-05-31 1 1 10,4575 10,4575 10,4575 10,4575 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-01 1 1 10,4675 10,4675 10,4675 10,4675 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-02 1 1 10,4706 10,4706 10,4706 10,4706 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-03 1 1 10,4848 10,4848 10,4848 10,4848 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-07 1 1 10,4874 10,4874 10,4874 10,4874 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-08 1 1 10,5057 10,5057 10,5057 10,5057 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-09 1 1 10,5067 10,5067 10,5067 10,5067 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-10 1 1 10,1548 10,1548 10,1548 10,1548 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-13 1 1 10,1564 10,1564 10,1564 10,1564 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-14 1 1 10,15 10,15 10,15 10,15 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-15 1 1 10,1407 10,1407 10,1407 10,1407 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-16 1 1 10,1386 10,1386 10,1386 10,1386 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-17 1 1 10,146 10,146 10,146 10,146 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-20 1 1 10,1455 10,1455 10,1455 10,1455 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-21 1 1 10,1685 10,1685 10,1685 10,1685 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-22 1 1 10,1816 10,1816 10,1816 10,1816 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-23 1 1 10,1786 10,1786 10,1786 10,1786 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-27 1 1 10,185 10,185 10,185 10,185 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-28 1 1 10,1788 10,1788 10,1788 10,1788 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-29 1 1 10,1837 10,1837 10,1837 10,1837 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-06-30 1 1 10,1839 10,1839 10,1839 10,1839 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-01 1 1 10,1876 10,1876 10,1876 10,1876 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-04 1 1 10,1799 10,1799 10,1799 10,1799 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-05 1 1 10,1716 10,1716 10,1716 10,1716 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-06 1 1 10,1741 10,1741 10,1741 10,1741 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-07 1 1 10,1849 10,1849 10,1849 10,1849 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-08 1 1 10,1855 10,1855 10,1855 10,1855 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-11 1 1 10,1794 10,1794 10,1794 10,1794 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-12 1 1 10,1755 10,1755 10,1755 10,1755 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-13 1 1 10,1716 10,1716 10,1716 10,1716 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-14 1 1 10,1685 10,1685 10,1685 10,1685 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-15 1 1 10,1663 10,1663 10,1663 10,1663 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-18 1 1 10,1712 10,1712 10,1712 10,1712 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-19 1 1 10,1692 10,1692 10,1692 10,1692 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-20 1 1 10,1696 10,1696 10,1696 10,1696 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-21 1 1 10,1716 10,1716 10,1716 10,1716 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-22 1 1 10,1789 10,1789 10,1789 10,1789 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-25 1 1 10,1841 10,1841 10,1841 10,1841 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-26 1 1 10,1811 10,1811 10,1811 10,1811 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-27 1 1 10,1868 10,1868 10,1868 10,1868 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-28 1 1 10,1807 10,1807 10,1807 10,1807 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-07-29 1 1 10,1702 10,1702 10,1702 10,1702 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-01 1 1 10,1571 10,1571 10,1571 10,1571 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-02 1 1 10,1508 10,1508 10,1508 10,1508 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-03 1 1 10,1448 10,1448 10,1448 10,1448 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-04 1 1 10,1514 10,1514 10,1514 10,1514 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-05 1 1 10,1415 10,1415 10,1415 10,1415 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-08 1 1 10,1423 10,1423 10,1423 10,1423 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-09 1 1 10,1439 10,1439 10,1439 10,1439 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-10 1 1 10,1496 10,1496 10,1496 10,1496 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-11 1 1 10,1518 10,1518 10,1518 10,1518 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-12 1 1 10,1555 10,1555 10,1555 10,1555 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-15 1 1 10,1592 10,1592 10,1592 10,1592 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-16 1 1 10,1622 10,1622 10,1622 10,1622 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-17 1 1 10,1603 10,1603 10,1603 10,1603 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-18 1 1 10,1595 10,1595 10,1595 10,1595 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-19 1 1 10,1577 10,1577 10,1577 10,1577 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-22 1 1 10,1622 10,1622 10,1622 10,1622 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-23 1 1 10,1703 10,1703 10,1703 10,1703 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-24 1 1 10,1666 10,1666 10,1666 10,1666 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-25 1 1 10,1714 10,1714 10,1714 10,1714 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-26 1 1 10,1717 10,1717 10,1717 10,1717 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-29 1 1 10,1684 10,1684 10,1684 10,1684 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-30 1 1 10,1689 10,1689 10,1689 10,1689 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-08-31 1 1 10,1765 10,1765 10,1765 10,1765 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-01 1 1 10,1838 10,1838 10,1838 10,1838 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-02 1 1 10,1864 10,1864 10,1864 10,1864 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-05 1 1 10,1908 10,1908 10,1908 10,1908 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-06 1 1 10,1857 10,1857 10,1857 10,1857 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-07 1 1 10,1853 10,1853 10,1853 10,1853 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-08 1 1 10,1923 10,1923 10,1923 10,1923 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-09 1 1 10,1952 10,1952 10,1952 10,1952 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-12 1 1 10,1842 10,1842 10,1842 10,1842 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-13 1 1 10,1855 10,1855 10,1855 10,1855 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-14 1 1 10,181 10,181 10,181 10,181 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-15 1 1 10,1807 10,1807 10,1807 10,1807 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-16 1 1 10,1776 10,1776 10,1776 10,1776 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-19 1 1 10,1791 10,1791 10,1791 10,1791 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-20 1 1 10,1853 10,1853 10,1853 10,1853 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-21 1 1 10,1928 10,1928 10,1928 10,1928 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-22 1 1 10,1919 10,1919 10,1919 10,1919 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-23 1 1 10,1842 10,1842 10,1842 10,1842 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-26 1 1 10,1792 10,1792 10,1792 10,1792 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-27 1 1 10,1802 10,1802 10,1802 10,1802 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-28 1 1 10,176 10,176 10,176 10,176 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-29 1 1 10,1688 10,1688 10,1688 10,1688 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-09-30 1 1 10,1694 10,1694 10,1694 10,1694 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-03 1 1 10,1583 10,1583 10,1583 10,1583 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-04 1 1 10,1623 10,1623 10,1623 10,1623 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-05 1 1 10,1636 10,1636 10,1636 10,1636 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-06 1 1 10,1623 10,1623 10,1623 10,1623 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-07 1 1 10,16 10,16 10,16 10,16 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-10 1 1 10,1605 10,1605 10,1605 10,1605 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-11 1 1 10,1587 10,1587 10,1587 10,1587 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-12 1 1 10,1557 10,1557 10,1557 10,1557 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-13 1 1 10,1571 10,1571 10,1571 10,1571 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-14 1 1 10,1577 10,1577 10,1577 10,1577 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-17 1 1 10,1587 10,1587 10,1587 10,1587 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-18 1 1 10,1597 10,1597 10,1597 10,1597 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-19 1 1 10,165 10,165 10,165 10,165 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-20 1 1 10,1621 10,1621 10,1621 10,1621 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-21 1 1 10,1668 10,1668 10,1668 10,1668 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-24 1 1 10,1709 10,1709 10,1709 10,1709 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-25 1 1 10,1644 10,1644 10,1644 10,1644 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-26 1 1 10,1532 10,1532 10,1532 10,1532 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-27 1 1 10,1541 10,1541 10,1541 10,1541 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-28 1 1 10,1518 10,1518 10,1518 10,1518 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-10-31 1 1 10,15 10,15 10,15 10,15 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-01 1 1 10,1476 10,1476 10,1476 10,1476 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-02 1 1 10,1405 10,1405 10,1405 10,1405 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-03 1 1 10,1368 10,1368 10,1368 10,1368 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-04 1 1 10,1302 10,1302 10,1302 10,1302 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-07 1 1 10,1249 10,1249 10,1249 10,1249 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-08 1 1 10,1283 10,1283 10,1283 10,1283 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-09 1 1 10,1227 10,1227 10,1227 10,1227 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-10 1 1 10,1263 10,1263 10,1263 10,1263 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-11 1 1 10,1288 10,1288 10,1288 10,1288 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-14 1 1 10,1329 10,1329 10,1329 10,1329 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-15 1 1 10,1306 10,1306 10,1306 10,1306 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-16 1 1 10,1388 10,1388 10,1388 10,1388 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-17 1 1 10,1351 10,1351 10,1351 10,1351 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-18 1 1 10,1244 10,1244 10,1244 10,1244 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-21 1 1 10,1322 10,1322 10,1322 10,1322 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-22 1 1 10,1308 10,1308 10,1308 10,1308 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-23 1 1 10,1345 10,1345 10,1345 10,1345 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-24 1 1 10,1459 10,1459 10,1459 10,1459 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-25 1 1 10,1378 10,1378 10,1378 10,1378 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-28 1 1 10,1393 10,1393 10,1393 10,1393 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-29 1 1 10,1388 10,1388 10,1388 10,1388 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-11-30 1 1 10,1331 10,1331 10,1331 10,1331 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-01 1 1 10,1385 10,1385 10,1385 10,1385 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-02 1 1 10,127 10,127 10,127 10,127 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-05 1 1 10,1181 10,1181 10,1181 10,1181 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-06 1 1 10,1179 10,1179 10,1179 10,1179 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-07 1 1 10,1182 10,1182 10,1182 10,1182 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-08 1 1 10,1166 10,1166 10,1166 10,1166 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-12 1 1 10,1138 10,1138 10,1138 10,1138 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-13 1 1 10,1184 10,1184 10,1184 10,1184 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-14 1 1 10,1254 10,1254 10,1254 10,1254 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-15 1 1 10,1246 10,1246 10,1246 10,1246 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-16 1 1 10,123 10,123 10,123 10,123 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-19 1 1 10,1304 10,1304 10,1304 10,1304 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-20 1 1 10,1286 10,1286 10,1286 10,1286 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-21 1 1 10,1205 10,1205 10,1205 10,1205 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-22 1 1 10,118 10,118 10,118 10,118 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-23 1 1 10,1197 10,1197 10,1197 10,1197 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-27 1 1 10,1268 10,1268 10,1268 10,1268 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-28 1 1 10,1277 10,1277 10,1277 10,1277 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-29 1 1 10,1266 10,1266 10,1266 10,1266 413260 SEB Investment Management SEB Obligationsfond Flexibel SEK SEK 2005-12-30 1 1 10,1298 10,1298 10,1298 10,1298 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-03 1 1 10,3557 10,3557 10,3557 10,3557 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-04 1 1 10,3539 10,3539 10,3539 10,3539 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-05 1 1 10,3413 10,3413 10,3413 10,3413 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-07 1 1 10,3732 10,3732 10,3732 10,3732 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-10 1 1 10,384 10,384 10,384 10,384 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-11 1 1 10,3854 10,3854 10,3854 10,3854 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-12 1 1 10,3846 10,3846 10,3846 10,3846 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-13 1 1 10,3961 10,3961 10,3961 10,3961 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-14 1 1 10,3989 10,3989 10,3989 10,3989 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-17 1 1 10,4061 10,4061 10,4061 10,4061 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-18 1 1 10,4018 10,4018 10,4018 10,4018 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-19 1 1 10,4141 10,4141 10,4141 10,4141 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-20 1 1 10,4011 10,4011 10,4011 10,4011 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-21 1 1 10,4173 10,4173 10,4173 10,4173 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-24 1 1 10,4339 10,4339 10,4339 10,4339 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-25 1 1 10,4309 10,4309 10,4309 10,4309 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-26 1 1 10,4253 10,4253 10,4253 10,4253 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-27 1 1 10,418 10,418 10,418 10,418 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-28 1 1 10,4343 10,4343 10,4343 10,4343 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-01-31 1 1 10,4357 10,4357 10,4357 10,4357 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-01 1 1 10,4454 10,4454 10,4454 10,4454 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-02 1 1 10,4439 10,4439 10,4439 10,4439 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-03 1 1 10,4378 10,4378 10,4378 10,4378 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-04 1 1 10,4511 10,4511 10,4511 10,4511 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-07 1 1 10,4556 10,4556 10,4556 10,4556 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-08 1 1 10,4508 10,4508 10,4508 10,4508 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-09 1 1 10,4645 10,4645 10,4645 10,4645 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-10 1 1 10,4777 10,4777 10,4777 10,4777 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-11 1 1 10,4766 10,4766 10,4766 10,4766 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-14 1 1 10,4673 10,4673 10,4673 10,4673 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-15 1 1 10,4652 10,4652 10,4652 10,4652 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-16 1 1 10,4698 10,4698 10,4698 10,4698 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-17 1 1 10,4686 10,4686 10,4686 10,4686 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-18 1 1 10,4383 10,4383 10,4383 10,4383 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-21 1 1 10,4268 10,4268 10,4268 10,4268 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-22 1 1 10,4175 10,4175 10,4175 10,4175 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-23 1 1 10,4323 10,4323 10,4323 10,4323 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-24 1 1 10,4196 10,4196 10,4196 10,4196 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-25 1 1 10,4137 10,4137 10,4137 10,4137 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-02-28 1 1 10,4271 10,4271 10,4271 10,4271 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-01 1 1 10,4258 10,4258 10,4258 10,4258 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-02 1 1 10,4089 10,4089 10,4089 10,4089 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-03 1 1 10,4172 10,4172 10,4172 10,4172 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-04 1 1 10,4397 10,4397 10,4397 10,4397 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-07 1 1 10,4525 10,4525 10,4525 10,4525 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-08 1 1 10,4598 10,4598 10,4598 10,4598 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-09 1 1 10,4429 10,4429 10,4429 10,4429 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-10 1 1 10,4448 10,4448 10,4448 10,4448 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-11 1 1 10,4295 10,4295 10,4295 10,4295 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-14 1 1 10,4298 10,4298 10,4298 10,4298 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-15 1 1 10,4457 10,4457 10,4457 10,4457 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-16 1 1 10,4336 10,4336 10,4336 10,4336 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-17 1 1 10,4397 10,4397 10,4397 10,4397 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-18 1 1 10,4358 10,4358 10,4358 10,4358 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-21 1 1 10,429 10,429 10,429 10,429 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-22 1 1 10,44 10,44 10,44 10,44 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-23 1 1 10,4321 10,4321 10,4321 10,4321 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-24 1 1 10,4381 10,4381 10,4381 10,4381 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-29 1 1 10,4452 10,4452 10,4452 10,4452 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-30 1 1 10,4513 10,4513 10,4513 10,4513 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-03-31 1 1 10,473 10,473 10,473 10,473 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-01 1 1 10,4886 10,4886 10,4886 10,4886 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-04 1 1 10,4957 10,4957 10,4957 10,4957 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-05 1 1 10,4955 10,4955 10,4955 10,4955 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-06 1 1 10,5007 10,5007 10,5007 10,5007 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-07 1 1 10,5049 10,5049 10,5049 10,5049 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-08 1 1 10,4922 10,4922 10,4922 10,4922 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-11 1 1 10,5033 10,5033 10,5033 10,5033 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-12 1 1 10,506 10,506 10,506 10,506 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-13 1 1 10,5199 10,5199 10,5199 10,5199 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-14 1 1 10,5273 10,5273 10,5273 10,5273 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-15 1 1 10,5462 10,5462 10,5462 10,5462 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-18 1 1 10,5524 10,5524 10,5524 10,5524 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-19 1 1 10,5576 10,5576 10,5576 10,5576 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-20 1 1 10,5557 10,5557 10,5557 10,5557 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-21 1 1 10,5575 10,5575 10,5575 10,5575 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-22 1 1 10,5715 10,5715 10,5715 10,5715 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-25 1 1 10,5822 10,5822 10,5822 10,5822 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-26 1 1 10,5903 10,5903 10,5903 10,5903 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-27 1 1 10,6061 10,6061 10,6061 10,6061 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-28 1 1 10,6162 10,6162 10,6162 10,6162 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-04-29 1 1 10,6215 10,6215 10,6215 10,6215 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-02 1 1 10,6293 10,6293 10,6293 10,6293 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-03 1 1 10,6344 10,6344 10,6344 10,6344 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-04 1 1 10,6118 10,6118 10,6118 10,6118 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-06 1 1 10,5962 10,5962 10,5962 10,5962 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-09 1 1 10,6047 10,6047 10,6047 10,6047 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-10 1 1 10,6042 10,6042 10,6042 10,6042 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-11 1 1 10,6443 10,6443 10,6443 10,6443 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-12 1 1 10,6338 10,6338 10,6338 10,6338 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-13 1 1 10,6527 10,6527 10,6527 10,6527 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-16 1 1 10,66 10,66 10,66 10,66 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-17 1 1 10,6625 10,6625 10,6625 10,6625 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-18 1 1 10,685 10,685 10,685 10,685 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-19 1 1 10,6791 10,6791 10,6791 10,6791 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-20 1 1 10,6617 10,6617 10,6617 10,6617 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-23 1 1 10,668 10,668 10,668 10,668 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-24 1 1 10,6781 10,6781 10,6781 10,6781 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-25 1 1 10,6895 10,6895 10,6895 10,6895 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-26 1 1 10,6758 10,6758 10,6758 10,6758 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-27 1 1 10,6789 10,6789 10,6789 10,6789 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-30 1 1 10,671 10,671 10,671 10,671 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-05-31 1 1 10,6989 10,6989 10,6989 10,6989 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-01 1 1 10,7171 10,7171 10,7171 10,7171 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-02 1 1 10,722 10,722 10,722 10,722 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-03 1 1 10,7482 10,7482 10,7482 10,7482 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-07 1 1 10,7507 10,7507 10,7507 10,7507 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-08 1 1 10,7841 10,7841 10,7841 10,7841 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-09 1 1 10,784 10,784 10,784 10,784 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-10 1 1 10,2813 10,2813 10,2813 10,2813 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-13 1 1 10,2817 10,2817 10,2817 10,2817 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-14 1 1 10,2702 10,2702 10,2702 10,2702 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-15 1 1 10,2534 10,2534 10,2534 10,2534 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-16 1 1 10,2495 10,2495 10,2495 10,2495 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-17 1 1 10,2638 10,2638 10,2638 10,2638 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-20 1 1 10,2608 10,2608 10,2608 10,2608 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-21 1 1 10,3029 10,3029 10,3029 10,3029 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-22 1 1 10,3271 10,3271 10,3271 10,3271 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-23 1 1 10,3219 10,3219 10,3219 10,3219 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-27 1 1 10,3327 10,3327 10,3327 10,3327 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-28 1 1 10,3215 10,3215 10,3215 10,3215 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-29 1 1 10,334 10,334 10,334 10,334 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-06-30 1 1 10,3335 10,3335 10,3335 10,3335 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-01 1 1 10,3401 10,3401 10,3401 10,3401 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-04 1 1 10,3253 10,3253 10,3253 10,3253 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-05 1 1 10,309 10,309 10,309 10,309 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-06 1 1 10,3143 10,3143 10,3143 10,3143 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-07 1 1 10,3331 10,3331 10,3331 10,3331 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-08 1 1 10,3343 10,3343 10,3343 10,3343 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-11 1 1 10,3222 10,3222 10,3222 10,3222 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-12 1 1 10,3143 10,3143 10,3143 10,3143 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-13 1 1 10,3073 10,3073 10,3073 10,3073 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-14 1 1 10,3012 10,3012 10,3012 10,3012 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-15 1 1 10,2962 10,2962 10,2962 10,2962 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-18 1 1 10,3047 10,3047 10,3047 10,3047 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-19 1 1 10,3007 10,3007 10,3007 10,3007 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-20 1 1 10,3025 10,3025 10,3025 10,3025 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-21 1 1 10,306 10,306 10,306 10,306 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-22 1 1 10,32 10,32 10,32 10,32 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-25 1 1 10,33 10,33 10,33 10,33 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-26 1 1 10,3235 10,3235 10,3235 10,3235 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-27 1 1 10,3348 10,3348 10,3348 10,3348 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-28 1 1 10,3222 10,3222 10,3222 10,3222 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-07-29 1 1 10,3004 10,3004 10,3004 10,3004 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-01 1 1 10,2749 10,2749 10,2749 10,2749 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-02 1 1 10,2627 10,2627 10,2627 10,2627 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-03 1 1 10,2512 10,2512 10,2512 10,2512 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-04 1 1 10,2636 10,2636 10,2636 10,2636 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-05 1 1 10,2439 10,2439 10,2439 10,2439 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-08 1 1 10,2441 10,2441 10,2441 10,2441 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-09 1 1 10,2472 10,2472 10,2472 10,2472 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-10 1 1 10,2597 10,2597 10,2597 10,2597 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-11 1 1 10,2634 10,2634 10,2634 10,2634 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-12 1 1 10,2702 10,2702 10,2702 10,2702 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-15 1 1 10,2774 10,2774 10,2774 10,2774 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-16 1 1 10,2828 10,2828 10,2828 10,2828 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-17 1 1 10,2802 10,2802 10,2802 10,2802 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-18 1 1 10,2783 10,2783 10,2783 10,2783 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-19 1 1 10,2745 10,2745 10,2745 10,2745 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-22 1 1 10,2828 10,2828 10,2828 10,2828 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-23 1 1 10,2984 10,2984 10,2984 10,2984 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-24 1 1 10,2917 10,2917 10,2917 10,2917 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-25 1 1 10,3019 10,3019 10,3019 10,3019 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-26 1 1 10,3019 10,3019 10,3019 10,3019 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-29 1 1 10,2942 10,2942 10,2942 10,2942 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-30 1 1 10,2951 10,2951 10,2951 10,2951 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-08-31 1 1 10,3132 10,3132 10,3132 10,3132 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-01 1 1 10,3274 10,3274 10,3274 10,3274 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-02 1 1 10,3323 10,3323 10,3323 10,3323 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-05 1 1 10,3399 10,3399 10,3399 10,3399 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-06 1 1 10,3305 10,3305 10,3305 10,3305 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-07 1 1 10,3303 10,3303 10,3303 10,3303 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-08 1 1 10,3415 10,3415 10,3415 10,3415 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-09 1 1 10,3478 10,3478 10,3478 10,3478 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-12 1 1 10,3263 10,3263 10,3263 10,3263 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-13 1 1 10,3288 10,3288 10,3288 10,3288 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-14 1 1 10,3219 10,3219 10,3219 10,3219 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-15 1 1 10,3198 10,3198 10,3198 10,3198 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-16 1 1 10,3136 10,3136 10,3136 10,3136 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-19 1 1 10,3153 10,3153 10,3153 10,3153 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-20 1 1 10,3274 10,3274 10,3274 10,3274 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-21 1 1 10,343 10,343 10,343 10,343 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-22 1 1 10,3408 10,3408 10,3408 10,3408 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-23 1 1 10,3248 10,3248 10,3248 10,3248 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-26 1 1 10,3138 10,3138 10,3138 10,3138 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-27 1 1 10,315 10,315 10,315 10,315 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-28 1 1 10,3072 10,3072 10,3072 10,3072 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-29 1 1 10,2914 10,2914 10,2914 10,2914 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-09-30 1 1 10,2943 10,2943 10,2943 10,2943 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-03 1 1 10,2717 10,2717 10,2717 10,2717 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-04 1 1 10,2792 10,2792 10,2792 10,2792 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-05 1 1 10,282 10,282 10,282 10,282 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-06 1 1 10,2789 10,2789 10,2789 10,2789 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-07 1 1 10,275 10,275 10,275 10,275 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-10 1 1 10,2752 10,2752 10,2752 10,2752 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-11 1 1 10,2712 10,2712 10,2712 10,2712 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-12 1 1 10,2657 10,2657 10,2657 10,2657 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-13 1 1 10,266 10,266 10,266 10,266 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-14 1 1 10,2667 10,2667 10,2667 10,2667 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-17 1 1 10,2676 10,2676 10,2676 10,2676 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-18 1 1 10,2693 10,2693 10,2693 10,2693 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-19 1 1 10,2807 10,2807 10,2807 10,2807 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-20 1 1 10,2725 10,2725 10,2725 10,2725 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-21 1 1 10,2822 10,2822 10,2822 10,2822 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-24 1 1 10,2892 10,2892 10,2892 10,2892 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-25 1 1 10,2758 10,2758 10,2758 10,2758 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-26 1 1 10,2528 10,2528 10,2528 10,2528 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-27 1 1 10,254 10,254 10,254 10,254 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-28 1 1 10,2489 10,2489 10,2489 10,2489 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-10-31 1 1 10,2452 10,2452 10,2452 10,2452 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-01 1 1 10,24 10,24 10,24 10,24 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-02 1 1 10,2261 10,2261 10,2261 10,2261 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-03 1 1 10,2188 10,2188 10,2188 10,2188 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-04 1 1 10,2052 10,2052 10,2052 10,2052 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-07 1 1 10,1943 10,1943 10,1943 10,1943 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-08 1 1 10,2011 10,2011 10,2011 10,2011 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-09 1 1 10,1904 10,1904 10,1904 10,1904 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-10 1 1 10,1959 10,1959 10,1959 10,1959 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-11 1 1 10,202 10,202 10,202 10,202 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-14 1 1 10,2093 10,2093 10,2093 10,2093 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-15 1 1 10,2045 10,2045 10,2045 10,2045 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-16 1 1 10,2222 10,2222 10,2222 10,2222 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-17 1 1 10,214 10,214 10,214 10,214 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-18 1 1 10,1923 10,1923 10,1923 10,1923 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-21 1 1 10,2066 10,2066 10,2066 10,2066 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-22 1 1 10,2055 10,2055 10,2055 10,2055 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-23 1 1 10,2122 10,2122 10,2122 10,2122 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-24 1 1 10,2342 10,2342 10,2342 10,2342 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-25 1 1 10,2209 10,2209 10,2209 10,2209 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-28 1 1 10,2231 10,2231 10,2231 10,2231 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-29 1 1 10,2213 10,2213 10,2213 10,2213 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-11-30 1 1 10,2108 10,2108 10,2108 10,2108 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-01 1 1 10,2212 10,2212 10,2212 10,2212 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-02 1 1 10,2021 10,2021 10,2021 10,2021 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-05 1 1 10,1858 10,1858 10,1858 10,1858 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-06 1 1 10,1861 10,1861 10,1861 10,1861 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-07 1 1 10,1871 10,1871 10,1871 10,1871 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-08 1 1 10,1842 10,1842 10,1842 10,1842 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-12 1 1 10,1765 10,1765 10,1765 10,1765 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-13 1 1 10,1847 10,1847 10,1847 10,1847 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-14 1 1 10,1996 10,1996 10,1996 10,1996 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-15 1 1 10,1994 10,1994 10,1994 10,1994 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-16 1 1 10,1966 10,1966 10,1966 10,1966 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-19 1 1 10,2102 10,2102 10,2102 10,2102 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-20 1 1 10,2061 10,2061 10,2061 10,2061 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-21 1 1 10,1902 10,1902 10,1902 10,1902 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-22 1 1 10,1838 10,1838 10,1838 10,1838 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-23 1 1 10,1874 10,1874 10,1874 10,1874 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-27 1 1 10,2008 10,2008 10,2008 10,2008 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-28 1 1 10,2029 10,2029 10,2029 10,2029 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-29 1 1 10,2007 10,2007 10,2007 10,2007 807453 SEB Investment Management SEB Obligationsfond SEK SEK 2005-12-30 1 1 10,2071 10,2071 10,2071 10,2071 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-03 1 1 5,981511 5,981511 5,981511 5,981511 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-04 1 1 6,011303 6,011303 6,011303 6,011303 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-05 1 1 5,972011 5,972011 5,972011 5,972011 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-07 1 1 6,044893 6,044893 6,044893 6,044893 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-10 1 1 6,035277 6,035277 6,035277 6,035277 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-11 1 1 5,98533 5,98533 5,98533 5,98533 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-12 1 1 5,950152 5,950152 5,950152 5,950152 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-13 1 1 5,940471 5,940471 5,940471 5,940471 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-14 1 1 6,001342 6,001342 6,001342 6,001342 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-17 1 1 6,019606 6,019606 6,019606 6,019606 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-18 1 1 5,999826 5,999826 5,999826 5,999826 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-19 1 1 6,050157 6,050157 6,050157 6,050157 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-20 1 1 5,986121 5,986121 5,986121 5,986121 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-21 1 1 5,996505 5,996505 5,996505 5,996505 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-24 1 1 5,993077 5,993077 5,993077 5,993077 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-25 1 1 6,042174 6,042174 6,042174 6,042174 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-26 1 1 6,089083 6,089083 6,089083 6,089083 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-27 1 1 6,081181 6,081181 6,081181 6,081181 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-28 1 1 6,098495 6,098495 6,098495 6,098495 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-01-31 1 1 6,128597 6,128597 6,128597 6,128597 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-01 1 1 6,148336 6,148336 6,148336 6,148336 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-02 1 1 6,177148 6,177148 6,177148 6,177148 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-03 1 1 6,155959 6,155959 6,155959 6,155959 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-04 1 1 6,213782 6,213782 6,213782 6,213782 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-07 1 1 6,27977 6,27977 6,27977 6,27977 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-08 1 1 6,288338 6,288338 6,288338 6,288338 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-09 1 1 6,300297 6,300297 6,300297 6,300297 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-10 1 1 6,317915 6,317915 6,317915 6,317915 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-11 1 1 6,326604 6,326604 6,326604 6,326604 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-14 1 1 6,356601 6,356601 6,356601 6,356601 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-15 1 1 6,369301 6,369301 6,369301 6,369301 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-16 1 1 6,333849 6,333849 6,333849 6,333849 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-17 1 1 6,38859 6,38859 6,38859 6,38859 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-18 1 1 6,366735 6,366735 6,366735 6,366735 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-21 1 1 6,392999 6,392999 6,392999 6,392999 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-22 1 1 6,314486 6,314486 6,314486 6,314486 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-23 1 1 6,271969 6,271969 6,271969 6,271969 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-24 1 1 6,266431 6,266431 6,266431 6,266431 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-25 1 1 6,315668 6,315668 6,315668 6,315668 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-02-28 1 1 6,329232 6,329232 6,329232 6,329232 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-01 1 1 6,345262 6,345262 6,345262 6,345262 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-02 1 1 6,34687 6,34687 6,34687 6,34687 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-03 1 1 6,397453 6,397453 6,397453 6,397453 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-04 1 1 6,419217 6,419217 6,419217 6,419217 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-07 1 1 6,405826 6,405826 6,405826 6,405826 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-08 1 1 6,383068 6,383068 6,383068 6,383068 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-09 1 1 6,345618 6,345618 6,345618 6,345618 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-10 1 1 6,315765 6,315765 6,315765 6,315765 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-11 1 1 6,307512 6,307512 6,307512 6,307512 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-14 1 1 6,311385 6,311385 6,311385 6,311385 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-15 1 1 6,391661 6,391661 6,391661 6,391661 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-16 1 1 6,301153 6,301153 6,301153 6,301153 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-17 1 1 6,299823 6,299823 6,299823 6,299823 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-18 1 1 6,325212 6,325212 6,325212 6,325212 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-21 1 1 6,342207 6,342207 6,342207 6,342207 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-22 1 1 6,308245 6,308245 6,308245 6,308245 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-23 1 1 6,273534 6,273534 6,273534 6,273534 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-24 1 1 6,283127 6,283127 6,283127 6,283127 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-29 1 1 6,329526 6,329526 6,329526 6,329526 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-30 1 1 6,31202 6,31202 6,31202 6,31202 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-03-31 1 1 6,354878 6,354878 6,354878 6,354878 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-01 1 1 6,382572 6,382572 6,382572 6,382572 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-04 1 1 6,327845 6,327845 6,327845 6,327845 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-05 1 1 6,388312 6,388312 6,388312 6,388312 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-06 1 1 6,391906 6,391906 6,391906 6,391906 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-07 1 1 6,412107 6,412107 6,412107 6,412107 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-08 1 1 6,448212 6,448212 6,448212 6,448212 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-11 1 1 6,425213 6,425213 6,425213 6,425213 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-12 1 1 6,394971 6,394971 6,394971 6,394971 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-13 1 1 6,408021 6,408021 6,408021 6,408021 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-14 1 1 6,432427 6,432427 6,432427 6,432427 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-15 1 1 6,359639 6,359639 6,359639 6,359639 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-18 1 1 6,215254 6,215254 6,215254 6,215254 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-19 1 1 6,261416 6,261416 6,261416 6,261416 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-20 1 1 6,21906 6,21906 6,21906 6,21906 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-21 1 1 6,22532 6,22532 6,22532 6,22532 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-22 1 1 6,241176 6,241176 6,241176 6,241176 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-25 1 1 6,25562 6,25562 6,25562 6,25562 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-26 1 1 6,231714 6,231714 6,231714 6,231714 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-27 1 1 6,175646 6,175646 6,175646 6,175646 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-28 1 1 6,18628 6,18628 6,18628 6,18628 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-04-29 1 1 6,249723 6,249723 6,249723 6,249723 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-02 1 1 6,275087 6,275087 6,275087 6,275087 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-03 1 1 6,306209 6,306209 6,306209 6,306209 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-04 1 1 6,309904 6,309904 6,309904 6,309904 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-06 1 1 6,386418 6,386418 6,386418 6,386418 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-09 1 1 6,360636 6,360636 6,360636 6,360636 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-10 1 1 6,327729 6,327729 6,327729 6,327729 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-11 1 1 6,333628 6,333628 6,333628 6,333628 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-12 1 1 6,372042 6,372042 6,372042 6,372042 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-13 1 1 6,339973 6,339973 6,339973 6,339973 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-17 1 1 6,337209 6,337209 6,337209 6,337209 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-18 1 1 6,415785 6,415785 6,415785 6,415785 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-19 1 1 6,462437 6,462437 6,462437 6,462437 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-20 1 1 6,464049 6,464049 6,464049 6,464049 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-23 1 1 6,47557 6,47557 6,47557 6,47557 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-24 1 1 6,471082 6,471082 6,471082 6,471082 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-25 1 1 6,484719 6,484719 6,484719 6,484719 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-26 1 1 6,525749 6,525749 6,525749 6,525749 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-27 1 1 6,516044 6,516044 6,516044 6,516044 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-30 1 1 6,537587 6,537587 6,537587 6,537587 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-05-31 1 1 6,543801 6,543801 6,543801 6,543801 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-01 1 1 6,562257 6,562257 6,562257 6,562257 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-02 1 1 6,623695 6,623695 6,623695 6,623695 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-03 1 1 6,591929 6,591929 6,591929 6,591929 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-07 1 1 6,633891 6,633891 6,633891 6,633891 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-08 1 1 6,674424 6,674424 6,674424 6,674424 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-09 1 1 6,658936 6,658936 6,658936 6,658936 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-10 1 1 6,752222 6,752222 6,752222 6,752222 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-13 1 1 6,769202 6,769202 6,769202 6,769202 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-14 1 1 6,819016 6,819016 6,819016 6,819016 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-15 1 1 6,822334 6,822334 6,822334 6,822334 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-16 1 1 6,81086 6,81086 6,81086 6,81086 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-17 1 1 6,842456 6,842456 6,842456 6,842456 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-20 1 1 6,793737 6,793737 6,793737 6,793737 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-21 1 1 6,842167 6,842167 6,842167 6,842167 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-22 1 1 6,913448 6,913448 6,913448 6,913448 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-27 1 1 6,872538 6,872538 6,872538 6,872538 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-28 1 1 6,922768 6,922768 6,922768 6,922768 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-29 1 1 7,009413 7,009413 7,009413 7,009413 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-06-30 1 1 7,03946 7,03946 7,03946 7,03946 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-01 1 1 7,044952 7,044952 7,044952 7,044952 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-04 1 1 7,099491 7,099491 7,099491 7,099491 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-05 1 1 7,038158 7,038158 7,038158 7,038158 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-06 1 1 7,084042 7,084042 7,084042 7,084042 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-07 1 1 6,920015 6,920015 6,920015 6,920015 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-08 1 1 7,051317 7,051317 7,051317 7,051317 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-11 1 1 7,141198 7,141198 7,141198 7,141198 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-12 1 1 7,083635 7,083635 7,083635 7,083635 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-13 1 1 7,086151 7,086151 7,086151 7,086151 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-14 1 1 7,186813 7,186813 7,186813 7,186813 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-15 1 1 7,186813 7,186813 7,186813 7,186813 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-18 1 1 7,132003 7,132003 7,132003 7,132003 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-19 1 1 7,198187 7,198187 7,198187 7,198187 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-20 1 1 7,185525 7,185525 7,185525 7,185525 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-21 1 1 7,194626 7,194626 7,194626 7,194626 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-22 1 1 7,141354 7,141354 7,141354 7,141354 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-25 1 1 7,167815 7,167815 7,167815 7,167815 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-26 1 1 7,230983 7,230983 7,230983 7,230983 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-27 1 1 7,245693 7,245693 7,245693 7,245693 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-28 1 1 7,270664 7,270664 7,270664 7,270664 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-07-29 1 1 7,290083 7,290083 7,290083 7,290083 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-01 1 1 7,261005 7,261005 7,261005 7,261005 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-02 1 1 7,277873 7,277873 7,277873 7,277873 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-03 1 1 7,283017 7,283017 7,283017 7,283017 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-04 1 1 7,191264 7,191264 7,191264 7,191264 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-05 1 1 7,16711 7,16711 7,16711 7,16711 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-08 1 1 7,192976 7,192976 7,192976 7,192976 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-09 1 1 7,238761 7,238761 7,238761 7,238761 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-10 1 1 7,341535 7,341535 7,341535 7,341535 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-11 1 1 7,308074 7,308074 7,308074 7,308074 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-12 1 1 7,276382 7,276382 7,276382 7,276382 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-16 1 1 7,285021 7,285021 7,285021 7,285021 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-17 1 1 7,190584 7,190584 7,190584 7,190584 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-18 1 1 7,176646 7,176646 7,176646 7,176646 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-19 1 1 7,277399 7,277399 7,277399 7,277399 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-22 1 1 7,321105 7,321105 7,321105 7,321105 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-23 1 1 7,24794 7,24794 7,24794 7,24794 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-24 1 1 7,146404 7,146404 7,146404 7,146404 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-25 1 1 7,119862 7,119862 7,119862 7,119862 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-26 1 1 7,050553 7,050553 7,050553 7,050553 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-29 1 1 7,018889 7,018889 7,018889 7,018889 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-30 1 1 7,074227 7,074227 7,074227 7,074227 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-08-31 1 1 7,114805 7,114805 7,114805 7,114805 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-01 1 1 7,201093 7,201093 7,201093 7,201093 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-02 1 1 7,149102 7,149102 7,149102 7,149102 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-05 1 1 7,182208 7,182208 7,182208 7,182208 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-06 1 1 7,272165 7,272165 7,272165 7,272165 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-07 1 1 7,322783 7,322783 7,322783 7,322783 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-08 1 1 7,317835 7,317835 7,317835 7,317835 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-09 1 1 7,350229 7,350229 7,350229 7,350229 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-12 1 1 7,332912 7,332912 7,332912 7,332912 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-13 1 1 7,320451 7,320451 7,320451 7,320451 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-14 1 1 7,321925 7,321925 7,321925 7,321925 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-15 1 1 7,3108 7,3108 7,3108 7,3108 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-16 1 1 7,348319 7,348319 7,348319 7,348319 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-19 1 1 7,346183 7,346183 7,346183 7,346183 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-20 1 1 7,351032 7,351032 7,351032 7,351032 846949 SEB Lux Equity Fund Management Company S.A SEB Optionsrätter Europafond (SEB Lux Equity Fund-Opportunity Europe) SEK 2005-09-21 1 1 7,349338 7,349338 7,349338 7,349338 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-03 1 1 10,1922 10,1922 10,1922 10,1922 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-04 1 1 10,1919 10,1919 10,1919 10,1919 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-05 1 1 10,1924 10,1924 10,1924 10,1924 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-07 1 1 10,1938 10,1938 10,1938 10,1938 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-10 1 1 10,1957 10,1957 10,1957 10,1957 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-11 1 1 10,1966 10,1966 10,1966 10,1966 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-12 1 1 10,1963 10,1963 10,1963 10,1963 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-13 1 1 10,1969 10,1969 10,1969 10,1969 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-14 1 1 10,1978 10,1978 10,1978 10,1978 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-17 1 1 10,1996 10,1996 10,1996 10,1996 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-18 1 1 10,2002 10,2002 10,2002 10,2002 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-19 1 1 10,2001 10,2001 10,2001 10,2001 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-20 1 1 10,2012 10,2012 10,2012 10,2012 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-21 1 1 10,2022 10,2022 10,2022 10,2022 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-24 1 1 10,2042 10,2042 10,2042 10,2042 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-25 1 1 10,205 10,205 10,205 10,205 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-26 1 1 10,2053 10,2053 10,2053 10,2053 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-27 1 1 10,2056 10,2056 10,2056 10,2056 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-28 1 1 10,2062 10,2062 10,2062 10,2062 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-01-31 1 1 10,2072 10,2072 10,2072 10,2072 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-01 1 1 10,2084 10,2084 10,2084 10,2084 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-02 1 1 10,208 10,208 10,208 10,208 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-03 1 1 10,2085 10,2085 10,2085 10,2085 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-04 1 1 10,2092 10,2092 10,2092 10,2092 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-07 1 1 10,2115 10,2115 10,2115 10,2115 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-08 1 1 10,2114 10,2114 10,2114 10,2114 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-09 1 1 10,2114 10,2114 10,2114 10,2114 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-10 1 1 10,2123 10,2123 10,2123 10,2123 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-11 1 1 10,213 10,213 10,213 10,213 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-14 1 1 10,2148 10,2148 10,2148 10,2148 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-15 1 1 10,2152 10,2152 10,2152 10,2152 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-16 1 1 10,2152 10,2152 10,2152 10,2152 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-17 1 1 10,216 10,216 10,216 10,216 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-18 1 1 10,216 10,216 10,216 10,216 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-21 1 1 10,2181 10,2181 10,2181 10,2181 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-22 1 1 10,2181 10,2181 10,2181 10,2181 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-23 1 1 10,2182 10,2182 10,2182 10,2182 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-24 1 1 10,2176 10,2176 10,2176 10,2176 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-25 1 1 10,2182 10,2182 10,2182 10,2182 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-02-28 1 1 10,2205 10,2205 10,2205 10,2205 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-01 1 1 10,2222 10,2222 10,2222 10,2222 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-02 1 1 10,2216 10,2216 10,2216 10,2216 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-03 1 1 10,2223 10,2223 10,2223 10,2223 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-04 1 1 10,2231 10,2231 10,2231 10,2231 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-07 1 1 10,2253 10,2253 10,2253 10,2253 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-08 1 1 10,2265 10,2265 10,2265 10,2265 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-09 1 1 10,2269 10,2269 10,2269 10,2269 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-10 1 1 10,2272 10,2272 10,2272 10,2272 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-11 1 1 10,2265 10,2265 10,2265 10,2265 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-14 1 1 10,2287 10,2287 10,2287 10,2287 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-15 1 1 10,229 10,229 10,229 10,229 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-16 1 1 10,2282 10,2282 10,2282 10,2282 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-17 1 1 10,229 10,229 10,229 10,229 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-18 1 1 10,229 10,229 10,229 10,229 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-21 1 1 10,2309 10,2309 10,2309 10,2309 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-22 1 1 10,2294 10,2294 10,2294 10,2294 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-23 1 1 10,2299 10,2299 10,2299 10,2299 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-24 1 1 10,2312 10,2312 10,2312 10,2312 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-29 1 1 10,2351 10,2351 10,2351 10,2351 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-30 1 1 10,2349 10,2349 10,2349 10,2349 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-03-31 1 1 10,2351 10,2351 10,2351 10,2351 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-01 1 1 10,2358 10,2358 10,2358 10,2358 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-04 1 1 10,2379 10,2379 10,2379 10,2379 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-05 1 1 10,2379 10,2379 10,2379 10,2379 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-06 1 1 10,2376 10,2376 10,2376 10,2376 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-07 1 1 10,2382 10,2382 10,2382 10,2382 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-08 1 1 10,2386 10,2386 10,2386 10,2386 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-11 1 1 10,2406 10,2406 10,2406 10,2406 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-12 1 1 10,2412 10,2412 10,2412 10,2412 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-13 1 1 10,241 10,241 10,241 10,241 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-14 1 1 10,2418 10,2418 10,2418 10,2418 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-15 1 1 10,2425 10,2425 10,2425 10,2425 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-18 1 1 10,2444 10,2444 10,2444 10,2444 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-19 1 1 10,2446 10,2446 10,2446 10,2446 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-20 1 1 10,2441 10,2441 10,2441 10,2441 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-21 1 1 10,2447 10,2447 10,2447 10,2447 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-22 1 1 10,2455 10,2455 10,2455 10,2455 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-25 1 1 10,2474 10,2474 10,2474 10,2474 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-26 1 1 10,2484 10,2484 10,2484 10,2484 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-27 1 1 10,2489 10,2489 10,2489 10,2489 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-28 1 1 10,2503 10,2503 10,2503 10,2503 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-04-29 1 1 10,2518 10,2518 10,2518 10,2518 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-02 1 1 10,2543 10,2543 10,2543 10,2543 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-03 1 1 10,2551 10,2551 10,2551 10,2551 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-04 1 1 10,2556 10,2556 10,2556 10,2556 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-06 1 1 10,2566 10,2566 10,2566 10,2566 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-09 1 1 10,2586 10,2586 10,2586 10,2586 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-10 1 1 10,259 10,259 10,259 10,259 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-11 1 1 10,2602 10,2602 10,2602 10,2602 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-12 1 1 10,2604 10,2604 10,2604 10,2604 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-13 1 1 10,2615 10,2615 10,2615 10,2615 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-16 1 1 10,2629 10,2629 10,2629 10,2629 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-17 1 1 10,2634 10,2634 10,2634 10,2634 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-18 1 1 10,2645 10,2645 10,2645 10,2645 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-19 1 1 10,2653 10,2653 10,2653 10,2653 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-20 1 1 10,2643 10,2643 10,2643 10,2643 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-23 1 1 10,2663 10,2663 10,2663 10,2663 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-24 1 1 10,2673 10,2673 10,2673 10,2673 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-25 1 1 10,2665 10,2665 10,2665 10,2665 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-26 1 1 10,2671 10,2671 10,2671 10,2671 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-27 1 1 10,2676 10,2676 10,2676 10,2676 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-30 1 1 10,2691 10,2691 10,2691 10,2691 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-05-31 1 1 10,2704 10,2704 10,2704 10,2704 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-01 1 1 10,2712 10,2712 10,2712 10,2712 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-02 1 1 10,2718 10,2718 10,2718 10,2718 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-03 1 1 10,2723 10,2723 10,2723 10,2723 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-07 1 1 10,2756 10,2756 10,2756 10,2756 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-08 1 1 10,2792 10,2792 10,2792 10,2792 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-09 1 1 10,2806 10,2806 10,2806 10,2806 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-10 1 1 10,0008 10,0008 10,0008 10,0008 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-13 1 1 10,0036 10,0036 10,0036 10,0036 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-14 1 1 10,0036 10,0036 10,0036 10,0036 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-15 1 1 10,0045 10,0045 10,0045 10,0045 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-16 1 1 10,0053 10,0053 10,0053 10,0053 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-17 1 1 10,0062 10,0062 10,0062 10,0062 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-20 1 1 10,008 10,008 10,008 10,008 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-21 1 1 10,0131 10,0131 10,0131 10,0131 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-22 1 1 10,0135 10,0135 10,0135 10,0135 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-23 1 1 10,0135 10,0135 10,0135 10,0135 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-27 1 1 10,0155 10,0155 10,0155 10,0155 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-28 1 1 10,0152 10,0152 10,0152 10,0152 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-29 1 1 10,0151 10,0151 10,0151 10,0151 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-06-30 1 1 10,0163 10,0163 10,0163 10,0163 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-01 1 1 10,0152 10,0152 10,0152 10,0152 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-04 1 1 10,0168 10,0168 10,0168 10,0168 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-05 1 1 10,0173 10,0173 10,0173 10,0173 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-06 1 1 10,0176 10,0176 10,0176 10,0176 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-07 1 1 10,0189 10,0189 10,0189 10,0189 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-08 1 1 10,0192 10,0192 10,0192 10,0192 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-11 1 1 10,0197 10,0197 10,0197 10,0197 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-12 1 1 10,0199 10,0199 10,0199 10,0199 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-13 1 1 10,0194 10,0194 10,0194 10,0194 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-14 1 1 10,0197 10,0197 10,0197 10,0197 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-15 1 1 10,0201 10,0201 10,0201 10,0201 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-18 1 1 10,022 10,022 10,022 10,022 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-19 1 1 10,0222 10,0222 10,0222 10,0222 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-20 1 1 10,0218 10,0218 10,0218 10,0218 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-21 1 1 10,0224 10,0224 10,0224 10,0224 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-22 1 1 10,0228 10,0228 10,0228 10,0228 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-25 1 1 10,0244 10,0244 10,0244 10,0244 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-26 1 1 10,0246 10,0246 10,0246 10,0246 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-27 1 1 10,0249 10,0249 10,0249 10,0249 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-28 1 1 10,0248 10,0248 10,0248 10,0248 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-07-29 1 1 10,0242 10,0242 10,0242 10,0242 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-01 1 1 10,0245 10,0245 10,0245 10,0245 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-02 1 1 10,0241 10,0241 10,0241 10,0241 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-03 1 1 10,0229 10,0229 10,0229 10,0229 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-04 1 1 10,0237 10,0237 10,0237 10,0237 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-05 1 1 10,0238 10,0238 10,0238 10,0238 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-08 1 1 10,0251 10,0251 10,0251 10,0251 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-09 1 1 10,0255 10,0255 10,0255 10,0255 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-10 1 1 10,0253 10,0253 10,0253 10,0253 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-11 1 1 10,0262 10,0262 10,0262 10,0262 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-12 1 1 10,0265 10,0265 10,0265 10,0265 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-15 1 1 10,0284 10,0284 10,0284 10,0284 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-16 1 1 10,0287 10,0287 10,0287 10,0287 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-17 1 1 10,0279 10,0279 10,0279 10,0279 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-18 1 1 10,0285 10,0285 10,0285 10,0285 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-19 1 1 10,0288 10,0288 10,0288 10,0288 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-22 1 1 10,03 10,03 10,03 10,03 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-23 1 1 10,0308 10,0308 10,0308 10,0308 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-24 1 1 10,0301 10,0301 10,0301 10,0301 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-25 1 1 10,0308 10,0308 10,0308 10,0308 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-26 1 1 10,0308 10,0308 10,0308 10,0308 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-29 1 1 10,032 10,032 10,032 10,032 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-30 1 1 10,0326 10,0326 10,0326 10,0326 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-08-31 1 1 10,0322 10,0322 10,0322 10,0322 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-01 1 1 10,0335 10,0335 10,0335 10,0335 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-02 1 1 10,0347 10,0347 10,0347 10,0347 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-05 1 1 10,0362 10,0362 10,0362 10,0362 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-06 1 1 10,0365 10,0365 10,0365 10,0365 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-07 1 1 10,0358 10,0358 10,0358 10,0358 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-08 1 1 10,0367 10,0367 10,0367 10,0367 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-09 1 1 10,037 10,037 10,037 10,037 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-12 1 1 10,038 10,038 10,038 10,038 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-13 1 1 10,0383 10,0383 10,0383 10,0383 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-14 1 1 10,0375 10,0375 10,0375 10,0375 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-15 1 1 10,0381 10,0381 10,0381 10,0381 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-16 1 1 10,0381 10,0381 10,0381 10,0381 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-19 1 1 10,0399 10,0399 10,0399 10,0399 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-20 1 1 10,0404 10,0404 10,0404 10,0404 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-21 1 1 10,0402 10,0402 10,0402 10,0402 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-22 1 1 10,0407 10,0407 10,0407 10,0407 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-23 1 1 10,0408 10,0408 10,0408 10,0408 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-26 1 1 10,0418 10,0418 10,0418 10,0418 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-27 1 1 10,043 10,043 10,043 10,043 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-28 1 1 10,0423 10,0423 10,0423 10,0423 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-29 1 1 10,0419 10,0419 10,0419 10,0419 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-09-30 1 1 10,0408 10,0408 10,0408 10,0408 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-03 1 1 10,0408 10,0408 10,0408 10,0408 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-04 1 1 10,0415 10,0415 10,0415 10,0415 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-05 1 1 10,0417 10,0417 10,0417 10,0417 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-06 1 1 10,042 10,042 10,042 10,042 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-07 1 1 10,0424 10,0424 10,0424 10,0424 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-10 1 1 10,0437 10,0437 10,0437 10,0437 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-11 1 1 10,0443 10,0443 10,0443 10,0443 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-12 1 1 10,0437 10,0437 10,0437 10,0437 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-13 1 1 10,0462 10,0462 10,0462 10,0462 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-14 1 1 10,0466 10,0466 10,0466 10,0466 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-17 1 1 10,0481 10,0481 10,0481 10,0481 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-18 1 1 10,0483 10,0483 10,0483 10,0483 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-19 1 1 10,0481 10,0481 10,0481 10,0481 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-20 1 1 10,0499 10,0499 10,0499 10,0499 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-21 1 1 10,0503 10,0503 10,0503 10,0503 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-24 1 1 10,0522 10,0522 10,0522 10,0522 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-25 1 1 10,0522 10,0522 10,0522 10,0522 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-26 1 1 10,0519 10,0519 10,0519 10,0519 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-27 1 1 10,0523 10,0523 10,0523 10,0523 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-28 1 1 10,0539 10,0539 10,0539 10,0539 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-10-31 1 1 10,0531 10,0531 10,0531 10,0531 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-01 1 1 10,0528 10,0528 10,0528 10,0528 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-02 1 1 10,0519 10,0519 10,0519 10,0519 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-03 1 1 10,0521 10,0521 10,0521 10,0521 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-04 1 1 10,0522 10,0522 10,0522 10,0522 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-07 1 1 10,0535 10,0535 10,0535 10,0535 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-08 1 1 10,0539 10,0539 10,0539 10,0539 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-09 1 1 10,0532 10,0532 10,0532 10,0532 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-10 1 1 10,054 10,054 10,054 10,054 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-11 1 1 10,054 10,054 10,054 10,054 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-14 1 1 10,0559 10,0559 10,0559 10,0559 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-15 1 1 10,056 10,056 10,056 10,056 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-16 1 1 10,0561 10,0561 10,0561 10,0561 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-17 1 1 10,0561 10,0561 10,0561 10,0561 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-18 1 1 10,0559 10,0559 10,0559 10,0559 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-21 1 1 10,0579 10,0579 10,0579 10,0579 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-22 1 1 10,0581 10,0581 10,0581 10,0581 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-23 1 1 10,058 10,058 10,058 10,058 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-24 1 1 10,059 10,059 10,059 10,059 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-25 1 1 10,0583 10,0583 10,0583 10,0583 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-28 1 1 10,0597 10,0597 10,0597 10,0597 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-29 1 1 10,0599 10,0599 10,0599 10,0599 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-11-30 1 1 10,059 10,059 10,059 10,059 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-01 1 1 10,0598 10,0598 10,0598 10,0598 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-02 1 1 10,0579 10,0579 10,0579 10,0579 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-05 1 1 10,0581 10,0581 10,0581 10,0581 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-06 1 1 10,0578 10,0578 10,0578 10,0578 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-07 1 1 10,0578 10,0578 10,0578 10,0578 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-08 1 1 10,0578 10,0578 10,0578 10,0578 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-12 1 1 10,0598 10,0598 10,0598 10,0598 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-13 1 1 10,0604 10,0604 10,0604 10,0604 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-14 1 1 10,0607 10,0607 10,0607 10,0607 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-15 1 1 10,0617 10,0617 10,0617 10,0617 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-16 1 1 10,0611 10,0611 10,0611 10,0611 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-19 1 1 10,063 10,063 10,063 10,063 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-20 1 1 10,0634 10,0634 10,0634 10,0634 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-21 1 1 10,0625 10,0625 10,0625 10,0625 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-22 1 1 10,0632 10,0632 10,0632 10,0632 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-23 1 1 10,0636 10,0636 10,0636 10,0636 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-27 1 1 10,0658 10,0658 10,0658 10,0658 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-28 1 1 10,0663 10,0663 10,0663 10,0663 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-29 1 1 10,0664 10,0664 10,0664 10,0664 843284 SEB Investment Management SEB Penningmarknadsfond SEK SEK 2005-12-30 1 1 10,0668 10,0668 10,0668 10,0668 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-03 1 1 12,0934 12,0934 12,0934 12,0934 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-04 1 1 12,0868 12,0868 12,0868 12,0868 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-05 1 1 12,0693 12,0693 12,0693 12,0693 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-07 1 1 12,1395 12,1395 12,1395 12,1395 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-10 1 1 12,1504 12,1504 12,1504 12,1504 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-11 1 1 12,149 12,149 12,149 12,149 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-12 1 1 12,1383 12,1383 12,1383 12,1383 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-13 1 1 12,1799 12,1799 12,1799 12,1799 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-14 1 1 12,1789 12,1789 12,1789 12,1789 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-17 1 1 12,2015 12,2015 12,2015 12,2015 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-18 1 1 12,1954 12,1954 12,1954 12,1954 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-19 1 1 12,2265 12,2265 12,2265 12,2265 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-20 1 1 12,212 12,212 12,212 12,212 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-21 1 1 12,217 12,217 12,217 12,217 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-24 1 1 12,2356 12,2356 12,2356 12,2356 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-25 1 1 12,2403 12,2403 12,2403 12,2403 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-26 1 1 12,2306 12,2306 12,2306 12,2306 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-27 1 1 12,2221 12,2221 12,2221 12,2221 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-28 1 1 12,2563 12,2563 12,2563 12,2563 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-01-31 1 1 12,2633 12,2633 12,2633 12,2633 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-01 1 1 12,3075 12,3075 12,3075 12,3075 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-02 1 1 12,3005 12,3005 12,3005 12,3005 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-03 1 1 12,3119 12,3119 12,3119 12,3119 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-04 1 1 12,338 12,338 12,338 12,338 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-07 1 1 12,3903 12,3903 12,3903 12,3903 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-08 1 1 12,3803 12,3803 12,3803 12,3803 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-09 1 1 12,4174 12,4174 12,4174 12,4174 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-10 1 1 12,4234 12,4234 12,4234 12,4234 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-11 1 1 12,4005 12,4005 12,4005 12,4005 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-14 1 1 12,3747 12,3747 12,3747 12,3747 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-15 1 1 12,3928 12,3928 12,3928 12,3928 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-16 1 1 12,3561 12,3561 12,3561 12,3561 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-17 1 1 12,2931 12,2931 12,2931 12,2931 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-18 1 1 12,2048 12,2048 12,2048 12,2048 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-21 1 1 12,1672 12,1672 12,1672 12,1672 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-22 1 1 12,1416 12,1416 12,1416 12,1416 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-23 1 1 12,1564 12,1564 12,1564 12,1564 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-24 1 1 12,1192 12,1192 12,1192 12,1192 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-25 1 1 12,115 12,115 12,115 12,115 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-02-28 1 1 12,1328 12,1328 12,1328 12,1328 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-01 1 1 12,1182 12,1182 12,1182 12,1182 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-02 1 1 12,0749 12,0749 12,0749 12,0749 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-03 1 1 12,078 12,078 12,078 12,078 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-04 1 1 12,1071 12,1071 12,1071 12,1071 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-07 1 1 12,1314 12,1314 12,1314 12,1314 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-08 1 1 12,1479 12,1479 12,1479 12,1479 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-09 1 1 12,1012 12,1012 12,1012 12,1012 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-10 1 1 12,0999 12,0999 12,0999 12,0999 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-11 1 1 12,095 12,095 12,095 12,095 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-14 1 1 12,0949 12,0949 12,0949 12,0949 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-15 1 1 12,1243 12,1243 12,1243 12,1243 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-16 1 1 12,1046 12,1046 12,1046 12,1046 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-17 1 1 12,1158 12,1158 12,1158 12,1158 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-18 1 1 12,1013 12,1013 12,1013 12,1013 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-21 1 1 12,0908 12,0908 12,0908 12,0908 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-22 1 1 12,1082 12,1082 12,1082 12,1082 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-23 1 1 12,1329 12,1329 12,1329 12,1329 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-24 1 1 12,1694 12,1694 12,1694 12,1694 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-29 1 1 12,1763 12,1763 12,1763 12,1763 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-30 1 1 12,2132 12,2132 12,2132 12,2132 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-03-31 1 1 12,2893 12,2893 12,2893 12,2893 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-01 1 1 12,3302 12,3302 12,3302 12,3302 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-04 1 1 12,3483 12,3483 12,3483 12,3483 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-05 1 1 12,3476 12,3476 12,3476 12,3476 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-06 1 1 12,3686 12,3686 12,3686 12,3686 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-07 1 1 12,415 12,415 12,415 12,415 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-08 1 1 12,3851 12,3851 12,3851 12,3851 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-11 1 1 12,4052 12,4052 12,4052 12,4052 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-12 1 1 12,4169 12,4169 12,4169 12,4169 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-13 1 1 12,4512 12,4512 12,4512 12,4512 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-14 1 1 12,4572 12,4572 12,4572 12,4572 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-15 1 1 12,5052 12,5052 12,5052 12,5052 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-18 1 1 12,535 12,535 12,535 12,535 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-19 1 1 12,544 12,544 12,544 12,544 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-20 1 1 12,5647 12,5647 12,5647 12,5647 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-21 1 1 12,5965 12,5965 12,5965 12,5965 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-22 1 1 12,6401 12,6401 12,6401 12,6401 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-25 1 1 12,6579 12,6579 12,6579 12,6579 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-26 1 1 12,7201 12,7201 12,7201 12,7201 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-27 1 1 12,7427 12,7427 12,7427 12,7427 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-28 1 1 12,7219 12,7219 12,7219 12,7219 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-04-29 1 1 12,705 12,705 12,705 12,705 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-02 1 1 12,7155 12,7155 12,7155 12,7155 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-03 1 1 12,7144 12,7144 12,7144 12,7144 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-04 1 1 12,6285 12,6285 12,6285 12,6285 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-06 1 1 12,573 12,573 12,573 12,573 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-09 1 1 12,5856 12,5856 12,5856 12,5856 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-10 1 1 12,6432 12,6432 12,6432 12,6432 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-11 1 1 12,6743 12,6743 12,6743 12,6743 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-12 1 1 12,6532 12,6532 12,6532 12,6532 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-13 1 1 12,4337 12,4337 12,4337 12,4337 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-17 1 1 12,4067 12,4067 12,4067 12,4067 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-18 1 1 12,4486 12,4486 12,4486 12,4486 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-19 1 1 12,4255 12,4255 12,4255 12,4255 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-20 1 1 12,3775 12,3775 12,3775 12,3775 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-23 1 1 12,3936 12,3936 12,3936 12,3936 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-24 1 1 12,4146 12,4146 12,4146 12,4146 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-25 1 1 12,4167 12,4167 12,4167 12,4167 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-26 1 1 12,364 12,364 12,364 12,364 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-27 1 1 12,3661 12,3661 12,3661 12,3661 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-30 1 1 12,3552 12,3552 12,3552 12,3552 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-05-31 1 1 12,3973 12,3973 12,3973 12,3973 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-01 1 1 12,3908 12,3908 12,3908 12,3908 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-02 1 1 12,3865 12,3865 12,3865 12,3865 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-03 1 1 12,3725 12,3725 12,3725 12,3725 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-07 1 1 12,3314 12,3314 12,3314 12,3314 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-08 1 1 12,4449 12,4449 12,4449 12,4449 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-09 1 1 12,4761 12,4761 12,4761 12,4761 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-10 1 1 12,4759 12,4759 12,4759 12,4759 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-13 1 1 12,4677 12,4677 12,4677 12,4677 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-14 1 1 12,4359 12,4359 12,4359 12,4359 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-15 1 1 12,3982 12,3982 12,3982 12,3982 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-16 1 1 12,3417 12,3417 12,3417 12,3417 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-17 1 1 12,3896 12,3896 12,3896 12,3896 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-20 1 1 12,374 12,374 12,374 12,374 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-21 1 1 12,4554 12,4554 12,4554 12,4554 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-22 1 1 12,5385 12,5385 12,5385 12,5385 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-27 1 1 12,5806 12,5806 12,5806 12,5806 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-28 1 1 12,5731 12,5731 12,5731 12,5731 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-29 1 1 12,5895 12,5895 12,5895 12,5895 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-06-30 1 1 12,5805 12,5805 12,5805 12,5805 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-01 1 1 12,6002 12,6002 12,6002 12,6002 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-04 1 1 12,5827 12,5827 12,5827 12,5827 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-05 1 1 12,5577 12,5577 12,5577 12,5577 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-06 1 1 12,5841 12,5841 12,5841 12,5841 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-07 1 1 12,6111 12,6111 12,6111 12,6111 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-08 1 1 12,634 12,634 12,634 12,634 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-11 1 1 12,6008 12,6008 12,6008 12,6008 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-12 1 1 12,5957 12,5957 12,5957 12,5957 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-13 1 1 12,5875 12,5875 12,5875 12,5875 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-14 1 1 12,5708 12,5708 12,5708 12,5708 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-15 1 1 12,5578 12,5578 12,5578 12,5578 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-18 1 1 12,5661 12,5661 12,5661 12,5661 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-19 1 1 12,5826 12,5826 12,5826 12,5826 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-20 1 1 12,5943 12,5943 12,5943 12,5943 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-21 1 1 12,6098 12,6098 12,6098 12,6098 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-22 1 1 12,6269 12,6269 12,6269 12,6269 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-25 1 1 12,6365 12,6365 12,6365 12,6365 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-26 1 1 12,617 12,617 12,617 12,617 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-27 1 1 12,6309 12,6309 12,6309 12,6309 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-28 1 1 12,6399 12,6399 12,6399 12,6399 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-07-29 1 1 12,6433 12,6433 12,6433 12,6433 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-01 1 1 12,6155 12,6155 12,6155 12,6155 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-02 1 1 12,6159 12,6159 12,6159 12,6159 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-03 1 1 12,6043 12,6043 12,6043 12,6043 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-04 1 1 12,6157 12,6157 12,6157 12,6157 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-05 1 1 12,5937 12,5937 12,5937 12,5937 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-08 1 1 12,6019 12,6019 12,6019 12,6019 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-09 1 1 12,5856 12,5856 12,5856 12,5856 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-10 1 1 12,6019 12,6019 12,6019 12,6019 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-11 1 1 12,5721 12,5721 12,5721 12,5721 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-12 1 1 12,597 12,597 12,597 12,597 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-16 1 1 12,5914 12,5914 12,5914 12,5914 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-17 1 1 12,6033 12,6033 12,6033 12,6033 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-18 1 1 12,5995 12,5995 12,5995 12,5995 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-19 1 1 12,5994 12,5994 12,5994 12,5994 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-22 1 1 12,6084 12,6084 12,6084 12,6084 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-23 1 1 12,6146 12,6146 12,6146 12,6146 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-24 1 1 12,6432 12,6432 12,6432 12,6432 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-25 1 1 12,6941 12,6941 12,6941 12,6941 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-26 1 1 12,6996 12,6996 12,6996 12,6996 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-29 1 1 12,7005 12,7005 12,7005 12,7005 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-30 1 1 12,6991 12,6991 12,6991 12,6991 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-08-31 1 1 12,7529 12,7529 12,7529 12,7529 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-01 1 1 12,7816 12,7816 12,7816 12,7816 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-02 1 1 12,8268 12,8268 12,8268 12,8268 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-05 1 1 12,8482 12,8482 12,8482 12,8482 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-06 1 1 12,8255 12,8255 12,8255 12,8255 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-07 1 1 12,8297 12,8297 12,8297 12,8297 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-08 1 1 12,8627 12,8627 12,8627 12,8627 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-09 1 1 12,9181 12,9181 12,9181 12,9181 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-12 1 1 12,858 12,858 12,858 12,858 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-13 1 1 12,8736 12,8736 12,8736 12,8736 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-14 1 1 12,8798 12,8798 12,8798 12,8798 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-15 1 1 12,8427 12,8427 12,8427 12,8427 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-16 1 1 12,8184 12,8184 12,8184 12,8184 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-19 1 1 12,8194 12,8194 12,8194 12,8194 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-20 1 1 12,87 12,87 12,87 12,87 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-21 1 1 12,901 12,901 12,901 12,901 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-22 1 1 12,8926 12,8926 12,8926 12,8926 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-23 1 1 12,9168 12,9168 12,9168 12,9168 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-26 1 1 12,87 12,87 12,87 12,87 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-27 1 1 12,8725 12,8725 12,8725 12,8725 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-28 1 1 12,8504 12,8504 12,8504 12,8504 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-29 1 1 12,8401 12,8401 12,8401 12,8401 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-09-30 1 1 12,8437 12,8437 12,8437 12,8437 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-03 1 1 12,813 12,813 12,813 12,813 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-04 1 1 12,8018 12,8018 12,8018 12,8018 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-05 1 1 12,8198 12,8198 12,8198 12,8198 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-06 1 1 12,7761 12,7761 12,7761 12,7761 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-07 1 1 12,7596 12,7596 12,7596 12,7596 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-10 1 1 12,745 12,745 12,745 12,745 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-11 1 1 12,7354 12,7354 12,7354 12,7354 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-12 1 1 12,7021 12,7021 12,7021 12,7021 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-13 1 1 12,664 12,664 12,664 12,664 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-14 1 1 12,6661 12,6661 12,6661 12,6661 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-17 1 1 12,6734 12,6734 12,6734 12,6734 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-18 1 1 12,6741 12,6741 12,6741 12,6741 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-19 1 1 12,6966 12,6966 12,6966 12,6966 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-20 1 1 12,6593 12,6593 12,6593 12,6593 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-21 1 1 12,6547 12,6547 12,6547 12,6547 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-24 1 1 12,7137 12,7137 12,7137 12,7137 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-25 1 1 12,6755 12,6755 12,6755 12,6755 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-26 1 1 12,6262 12,6262 12,6262 12,6262 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-27 1 1 12,637 12,637 12,637 12,637 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-28 1 1 12,6302 12,6302 12,6302 12,6302 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-10-31 1 1 12,6336 12,6336 12,6336 12,6336 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-02 1 1 12,6251 12,6251 12,6251 12,6251 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-03 1 1 12,5935 12,5935 12,5935 12,5935 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-04 1 1 12,5471 12,5471 12,5471 12,5471 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-07 1 1 12,5337 12,5337 12,5337 12,5337 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-08 1 1 12,5353 12,5353 12,5353 12,5353 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-09 1 1 12,5272 12,5272 12,5272 12,5272 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-10 1 1 12,5034 12,5034 12,5034 12,5034 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-11 1 1 12,5178 12,5178 12,5178 12,5178 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-14 1 1 12,514 12,514 12,514 12,514 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-15 1 1 12,4948 12,4948 12,4948 12,4948 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-16 1 1 12,5246 12,5246 12,5246 12,5246 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-17 1 1 12,5192 12,5192 12,5192 12,5192 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-18 1 1 12,4961 12,4961 12,4961 12,4961 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-21 1 1 12,5313 12,5313 12,5313 12,5313 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-22 1 1 12,5183 12,5183 12,5183 12,5183 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-23 1 1 12,5583 12,5583 12,5583 12,5583 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-24 1 1 12,6094 12,6094 12,6094 12,6094 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-25 1 1 12,6084 12,6084 12,6084 12,6084 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-28 1 1 12,6231 12,6231 12,6231 12,6231 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-29 1 1 12,607 12,607 12,607 12,607 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-11-30 1 1 12,5927 12,5927 12,5927 12,5927 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-01 1 1 12,6326 12,6326 12,6326 12,6326 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-02 1 1 12,543 12,543 12,543 12,543 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-05 1 1 12,5486 12,5486 12,5486 12,5486 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-06 1 1 12,5367 12,5367 12,5367 12,5367 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-07 1 1 12,5503 12,5503 12,5503 12,5503 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-08 1 1 12,5599 12,5599 12,5599 12,5599 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-12 1 1 12,5188 12,5188 12,5188 12,5188 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-13 1 1 12,524 12,524 12,524 12,524 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-14 1 1 12,5727 12,5727 12,5727 12,5727 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-15 1 1 12,5621 12,5621 12,5621 12,5621 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-16 1 1 12,565 12,565 12,565 12,565 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-19 1 1 12,5805 12,5805 12,5805 12,5805 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-20 1 1 12,5491 12,5491 12,5491 12,5491 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-21 1 1 12,5358 12,5358 12,5358 12,5358 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-22 1 1 12,5696 12,5696 12,5696 12,5696 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-23 1 1 12,5661 12,5661 12,5661 12,5661 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-27 1 1 12,5824 12,5824 12,5824 12,5824 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-28 1 1 12,5945 12,5945 12,5945 12,5945 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-29 1 1 12,5961 12,5961 12,5961 12,5961 496497 SEB Asset Management S.A. SEB Realräntefond SEK (SEB Fund 3- SEB Index Linked Bond Fund) SEK 2005-12-30 1 1 12,6153 12,6153 12,6153 12,6153 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-03 1 1 7,7738 7,7738 7,7738 7,7738 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-04 1 1 7,8215 7,8215 7,8215 7,8215 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-05 1 1 7,7261 7,7261 7,7261 7,7261 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-07 1 1 7,7403 7,7403 7,7403 7,7403 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-10 1 1 7,8238 7,8238 7,8238 7,8238 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-11 1 1 7,7671 7,7671 7,7671 7,7671 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-12 1 1 7,6423 7,6423 7,6423 7,6423 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-13 1 1 7,6477 7,6477 7,6477 7,6477 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-14 1 1 7,6686 7,6686 7,6686 7,6686 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-17 1 1 7,7246 7,7246 7,7246 7,7246 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-18 1 1 7,6708 7,6708 7,6708 7,6708 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-19 1 1 7,7218 7,7218 7,7218 7,7218 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-20 1 1 7,6473 7,6473 7,6473 7,6473 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-21 1 1 7,6249 7,6249 7,6249 7,6249 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-24 1 1 7,5355 7,5355 7,5355 7,5355 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-25 1 1 7,6136 7,6136 7,6136 7,6136 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-26 1 1 7,6441 7,6441 7,6441 7,6441 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-27 1 1 7,6662 7,6662 7,6662 7,6662 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-28 1 1 7,6464 7,6464 7,6464 7,6464 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-01-31 1 1 7,6939 7,6939 7,6939 7,6939 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-01 1 1 7,7212 7,7212 7,7212 7,7212 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-02 1 1 7,7859 7,7859 7,7859 7,7859 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-03 1 1 7,7795 7,7795 7,7795 7,7795 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-04 1 1 7,8416 7,8416 7,8416 7,8416 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-07 1 1 7,9233 7,9233 7,9233 7,9233 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-08 1 1 7,9408 7,9408 7,9408 7,9408 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-09 1 1 7,9549 7,9549 7,9549 7,9549 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-10 1 1 7,8714 7,8714 7,8714 7,8714 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-11 1 1 7,9267 7,9267 7,9267 7,9267 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-14 1 1 7,9548 7,9548 7,9548 7,9548 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-15 1 1 8,0039 8,0039 8,0039 8,0039 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-16 1 1 7,9138 7,9138 7,9138 7,9138 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-17 1 1 7,9268 7,9268 7,9268 7,9268 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-18 1 1 7,8884 7,8884 7,8884 7,8884 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-21 1 1 7,9142 7,9142 7,9142 7,9142 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-22 1 1 7,866 7,866 7,866 7,866 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-23 1 1 7,8817 7,8817 7,8817 7,8817 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-24 1 1 7,9141 7,9141 7,9141 7,9141 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-25 1 1 7,9599 7,9599 7,9599 7,9599 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-02-28 1 1 7,9935 7,9935 7,9935 7,9935 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-01 1 1 8,0149 8,0149 8,0149 8,0149 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-02 1 1 8,0195 8,0195 8,0195 8,0195 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-03 1 1 8,0947 8,0947 8,0947 8,0947 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-04 1 1 8,1256 8,1256 8,1256 8,1256 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-07 1 1 8,1177 8,1177 8,1177 8,1177 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-08 1 1 8,0684 8,0684 8,0684 8,0684 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-09 1 1 8,0484 8,0484 8,0484 8,0484 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-10 1 1 7,9866 7,9866 7,9866 7,9866 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-11 1 1 8,0236 8,0236 8,0236 8,0236 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-14 1 1 8,0108 8,0108 8,0108 8,0108 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-15 1 1 8,0677 8,0677 8,0677 8,0677 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-16 1 1 7,9898 7,9898 7,9898 7,9898 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-17 1 1 7,9619 7,9619 7,9619 7,9619 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-18 1 1 7,9638 7,9638 7,9638 7,9638 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-21 1 1 7,9227 7,9227 7,9227 7,9227 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-22 1 1 7,96 7,96 7,96 7,96 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-23 1 1 7,9267 7,9267 7,9267 7,9267 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-24 1 1 7,9826 7,9826 7,9826 7,9826 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-29 1 1 7,9941 7,9941 7,9941 7,9941 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-30 1 1 7,9334 7,9334 7,9334 7,9334 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-03-31 1 1 7,992 7,992 7,992 7,992 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-01 1 1 8,0457 8,0457 8,0457 8,0457 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-04 1 1 8,0115 8,0115 8,0115 8,0115 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-05 1 1 8,0949 8,0949 8,0949 8,0949 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-06 1 1 8,1463 8,1463 8,1463 8,1463 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-07 1 1 8,1497 8,1497 8,1497 8,1497 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-08 1 1 8,1983 8,1983 8,1983 8,1983 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-11 1 1 8,2239 8,2239 8,2239 8,2239 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-12 1 1 8,2062 8,2062 8,2062 8,2062 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-13 1 1 8,265 8,265 8,265 8,265 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-14 1 1 8,3139 8,3139 8,3139 8,3139 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-15 1 1 8,1885 8,1885 8,1885 8,1885 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-18 1 1 8,0923 8,0923 8,0923 8,0923 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-19 1 1 8,114 8,114 8,114 8,114 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-20 1 1 8,1146 8,1146 8,1146 8,1146 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-21 1 1 8,1205 8,1205 8,1205 8,1205 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-22 1 1 8,198 8,198 8,198 8,198 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-25 1 1 8,1803 8,1803 8,1803 8,1803 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-26 1 1 8,0865 8,0865 8,0865 8,0865 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-27 1 1 7,9321 7,9321 7,9321 7,9321 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-28 1 1 7,8621 7,8621 7,8621 7,8621 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-04-29 1 1 7,9005 7,9005 7,9005 7,9005 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-02 1 1 7,9679 7,9679 7,9679 7,9679 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-03 1 1 7,9648 7,9648 7,9648 7,9648 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-04 1 1 7,9735 7,9735 7,9735 7,9735 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-06 1 1 8,0622 8,0622 8,0622 8,0622 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-09 1 1 8,0759 8,0759 8,0759 8,0759 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-10 1 1 8,0374 8,0374 8,0374 8,0374 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-11 1 1 8,0423 8,0423 8,0423 8,0423 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-12 1 1 8,0925 8,0925 8,0925 8,0925 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-13 1 1 8,0981 8,0981 8,0981 8,0981 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-16 1 1 8,1161 8,1161 8,1161 8,1161 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-17 1 1 8,1417 8,1417 8,1417 8,1417 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-18 1 1 8,1976 8,1976 8,1976 8,1976 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-19 1 1 8,2152 8,2152 8,2152 8,2152 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-20 1 1 8,2276 8,2276 8,2276 8,2276 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-23 1 1 8,2202 8,2202 8,2202 8,2202 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-24 1 1 8,2199 8,2199 8,2199 8,2199 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-25 1 1 8,2252 8,2252 8,2252 8,2252 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-26 1 1 8,2703 8,2703 8,2703 8,2703 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-27 1 1 8,2859 8,2859 8,2859 8,2859 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-30 1 1 8,3068 8,3068 8,3068 8,3068 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-05-31 1 1 8,3228 8,3228 8,3228 8,3228 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-01 1 1 8,328 8,328 8,328 8,328 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-02 1 1 8,2724 8,2724 8,2724 8,2724 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-03 1 1 8,2341 8,2341 8,2341 8,2341 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-07 1 1 8,2853 8,2853 8,2853 8,2853 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-08 1 1 8,3298 8,3298 8,3298 8,3298 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-09 1 1 8,3195 8,3195 8,3195 8,3195 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-10 1 1 8,3589 8,3589 8,3589 8,3589 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-13 1 1 8,364 8,364 8,364 8,364 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-14 1 1 8,4506 8,4506 8,4506 8,4506 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-15 1 1 8,4337 8,4337 8,4337 8,4337 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-16 1 1 8,4548 8,4548 8,4548 8,4548 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-17 1 1 8,4893 8,4893 8,4893 8,4893 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-20 1 1 8,4663 8,4663 8,4663 8,4663 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-21 1 1 8,5055 8,5055 8,5055 8,5055 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-22 1 1 8,5566 8,5566 8,5566 8,5566 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-23 1 1 8,6125 8,6125 8,6125 8,6125 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-27 1 1 8,4502 8,4502 8,4502 8,4502 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-28 1 1 8,4956 8,4956 8,4956 8,4956 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-29 1 1 8,5598 8,5598 8,5598 8,5598 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-06-30 1 1 8,5961 8,5961 8,5961 8,5961 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-01 1 1 8,6326 8,6326 8,6326 8,6326 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-04 1 1 8,6773 8,6773 8,6773 8,6773 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-05 1 1 8,668 8,668 8,668 8,668 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-06 1 1 8,6823 8,6823 8,6823 8,6823 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-07 1 1 8,5343 8,5343 8,5343 8,5343 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-08 1 1 8,6589 8,6589 8,6589 8,6589 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-11 1 1 8,7814 8,7814 8,7814 8,7814 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-12 1 1 8,8022 8,8022 8,8022 8,8022 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-13 1 1 8,843 8,843 8,843 8,843 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-14 1 1 8,8547 8,8547 8,8547 8,8547 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-15 1 1 8,8358 8,8358 8,8358 8,8358 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-18 1 1 8,8412 8,8412 8,8412 8,8412 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-19 1 1 8,8545 8,8545 8,8545 8,8545 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-20 1 1 8,8124 8,8124 8,8124 8,8124 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-21 1 1 8,8573 8,8573 8,8573 8,8573 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-22 1 1 8,8789 8,8789 8,8789 8,8789 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-25 1 1 8,8334 8,8334 8,8334 8,8334 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-26 1 1 8,9182 8,9182 8,9182 8,9182 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-27 1 1 8,9321 8,9321 8,9321 8,9321 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-28 1 1 9,0001 9,0001 9,0001 9,0001 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-07-29 1 1 9,0027 9,0027 9,0027 9,0027 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-01 1 1 8,9985 8,9985 8,9985 8,9985 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-02 1 1 9,0622 9,0622 9,0622 9,0622 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-03 1 1 9,0349 9,0349 9,0349 9,0349 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-04 1 1 8,9972 8,9972 8,9972 8,9972 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-05 1 1 8,9723 8,9723 8,9723 8,9723 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-08 1 1 8,9619 8,9619 8,9619 8,9619 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-09 1 1 8,9661 8,9661 8,9661 8,9661 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-10 1 1 9,0874 9,0874 9,0874 9,0874 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-11 1 1 9,0553 9,0553 9,0553 9,0553 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-12 1 1 9,0111 9,0111 9,0111 9,0111 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-15 1 1 9,0022 9,0022 9,0022 9,0022 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-16 1 1 9,0107 9,0107 9,0107 9,0107 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-17 1 1 8,9554 8,9554 8,9554 8,9554 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-18 1 1 8,9742 8,9742 8,9742 8,9742 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-19 1 1 9,0513 9,0513 9,0513 9,0513 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-22 1 1 9,0379 9,0379 9,0379 9,0379 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-23 1 1 8,9888 8,9888 8,9888 8,9888 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-24 1 1 8,8601 8,8601 8,8601 8,8601 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-25 1 1 8,7826 8,7826 8,7826 8,7826 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-26 1 1 8,7029 8,7029 8,7029 8,7029 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-29 1 1 8,7381 8,7381 8,7381 8,7381 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-30 1 1 8,7768 8,7768 8,7768 8,7768 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-08-31 1 1 8,7923 8,7923 8,7923 8,7923 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-01 1 1 8,8694 8,8694 8,8694 8,8694 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-02 1 1 8,8475 8,8475 8,8475 8,8475 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-05 1 1 8,8969 8,8969 8,8969 8,8969 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-06 1 1 8,9614 8,9614 8,9614 8,9614 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-07 1 1 8,9805 8,9805 8,9805 8,9805 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-08 1 1 8,9528 8,9528 8,9528 8,9528 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-09 1 1 8,994 8,994 8,994 8,994 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-12 1 1 9,0239 9,0239 9,0239 9,0239 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-13 1 1 9,0147 9,0147 9,0147 9,0147 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-14 1 1 9,0791 9,0791 9,0791 9,0791 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-15 1 1 9,0263 9,0263 9,0263 9,0263 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-16 1 1 9,052 9,052 9,052 9,052 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-19 1 1 9,0569 9,0569 9,0569 9,0569 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-20 1 1 9,0353 9,0353 9,0353 9,0353 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-21 1 1 8,9626 8,9626 8,9626 8,9626 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-22 1 1 8,9591 8,9591 8,9591 8,9591 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-23 1 1 8,9714 8,9714 8,9714 8,9714 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-26 1 1 9,0815 9,0815 9,0815 9,0815 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-27 1 1 9,1198 9,1198 9,1198 9,1198 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-28 1 1 9,1693 9,1693 9,1693 9,1693 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-29 1 1 9,1739 9,1739 9,1739 9,1739 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-09-30 1 1 9,2439 9,2439 9,2439 9,2439 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-03 1 1 9,2939 9,2939 9,2939 9,2939 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-04 1 1 9,2937 9,2937 9,2937 9,2937 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-05 1 1 9,2328 9,2328 9,2328 9,2328 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-06 1 1 9,1606 9,1606 9,1606 9,1606 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-07 1 1 9,169 9,169 9,169 9,169 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-10 1 1 9,1989 9,1989 9,1989 9,1989 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-11 1 1 9,2116 9,2116 9,2116 9,2116 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-12 1 1 9,1436 9,1436 9,1436 9,1436 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-13 1 1 9,0287 9,0287 9,0287 9,0287 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-14 1 1 9,0352 9,0352 9,0352 9,0352 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-17 1 1 9,0257 9,0257 9,0257 9,0257 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-18 1 1 8,9752 8,9752 8,9752 8,9752 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-19 1 1 8,856 8,856 8,856 8,856 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-20 1 1 8,8909 8,8909 8,8909 8,8909 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-21 1 1 8,8142 8,8142 8,8142 8,8142 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-24 1 1 8,9236 8,9236 8,9236 8,9236 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-25 1 1 8,9973 8,9973 8,9973 8,9973 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-26 1 1 9,04 9,04 9,04 9,04 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-27 1 1 8,9629 8,9629 8,9629 8,9629 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-28 1 1 8,9073 8,9073 8,9073 8,9073 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-10-31 1 1 9,1109 9,1109 9,1109 9,1109 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-01 1 1 9,1389 9,1389 9,1389 9,1389 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-02 1 1 9,153 9,153 9,153 9,153 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-03 1 1 9,2564 9,2564 9,2564 9,2564 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-04 1 1 9,2552 9,2552 9,2552 9,2552 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-07 1 1 9,3105 9,3105 9,3105 9,3105 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-08 1 1 9,2993 9,2993 9,2993 9,2993 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-09 1 1 9,307 9,307 9,307 9,307 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-10 1 1 9,3271 9,3271 9,3271 9,3271 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-11 1 1 9,4357 9,4357 9,4357 9,4357 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-14 1 1 9,4624 9,4624 9,4624 9,4624 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-15 1 1 9,4187 9,4187 9,4187 9,4187 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-16 1 1 9,4249 9,4249 9,4249 9,4249 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-17 1 1 9,4668 9,4668 9,4668 9,4668 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-18 1 1 9,5125 9,5125 9,5125 9,5125 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-21 1 1 9,5047 9,5047 9,5047 9,5047 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-22 1 1 9,5033 9,5033 9,5033 9,5033 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-23 1 1 9,5234 9,5234 9,5234 9,5234 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-24 1 1 9,493 9,493 9,493 9,493 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-25 1 1 9,5285 9,5285 9,5285 9,5285 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-28 1 1 9,5498 9,5498 9,5498 9,5498 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-29 1 1 9,5364 9,5364 9,5364 9,5364 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-11-30 1 1 9,4654 9,4654 9,4654 9,4654 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-01 1 1 9,5752 9,5752 9,5752 9,5752 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-02 1 1 9,4345 9,4345 9,4345 9,4345 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-05 1 1 9,4224 9,4224 9,4224 9,4224 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-06 1 1 9,4686 9,4686 9,4686 9,4686 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-07 1 1 9,4758 9,4758 9,4758 9,4758 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-08 1 1 9,4953 9,4953 9,4953 9,4953 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-12 1 1 9,5196 9,5196 9,5196 9,5196 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-13 1 1 9,5104 9,5104 9,5104 9,5104 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-14 1 1 9,4867 9,4867 9,4867 9,4867 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-15 1 1 9,4589 9,4589 9,4589 9,4589 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-16 1 1 9,5081 9,5081 9,5081 9,5081 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-19 1 1 9,5429 9,5429 9,5429 9,5429 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-20 1 1 9,5343 9,5343 9,5343 9,5343 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-21 1 1 9,598 9,598 9,598 9,598 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-22 1 1 9,6223 9,6223 9,6223 9,6223 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-23 1 1 9,7129 9,7129 9,7129 9,7129 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-27 1 1 9,77 9,77 9,77 9,77 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-28 1 1 9,7558 9,7558 9,7558 9,7558 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-29 1 1 9,7877 9,7877 9,7877 9,7877 158261 SEB Investment Management SEB Sverigefond 2 SEK 2005-12-30 1 1 9,745 9,745 9,745 9,745 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-03 1 1 13,657 13,657 13,657 13,657 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-04 1 1 13,5996 13,5996 13,5996 13,5996 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-05 1 1 13,4218 13,4218 13,4218 13,4218 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-07 1 1 13,312 13,312 13,312 13,312 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-10 1 1 13,3746 13,3746 13,3746 13,3746 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-11 1 1 13,2356 13,2356 13,2356 13,2356 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-12 1 1 13,1377 13,1377 13,1377 13,1377 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-13 1 1 13,1775 13,1775 13,1775 13,1775 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-14 1 1 13,3295 13,3295 13,3295 13,3295 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-17 1 1 13,4636 13,4636 13,4636 13,4636 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-18 1 1 13,4776 13,4776 13,4776 13,4776 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-19 1 1 13,4714 13,4714 13,4714 13,4714 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-20 1 1 13,2834 13,2834 13,2834 13,2834 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-21 1 1 13,2897 13,2897 13,2897 13,2897 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-24 1 1 13,0851 13,0851 13,0851 13,0851 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-25 1 1 13,1033 13,1033 13,1033 13,1033 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-26 1 1 13,2032 13,2032 13,2032 13,2032 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-27 1 1 13,2943 13,2943 13,2943 13,2943 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-28 1 1 13,3729 13,3729 13,3729 13,3729 194092 SEB Investment Management SEB Teknologifond SEK 2005-01-31 1 1 13,4834 13,4834 13,4834 13,4834 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-01 1 1 13,4586 13,4586 13,4586 13,4586 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-02 1 1 13,5524 13,5524 13,5524 13,5524 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-03 1 1 13,6185 13,6185 13,6185 13,6185 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-04 1 1 13,6236 13,6236 13,6236 13,6236 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-07 1 1 13,9962 13,9962 13,9962 13,9962 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-08 1 1 14,009 14,009 14,009 14,009 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-09 1 1 13,9936 13,9936 13,9936 13,9936 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-10 1 1 13,7092 13,7092 13,7092 13,7092 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-11 1 1 13,739 13,739 13,739 13,739 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-14 1 1 13,828 13,828 13,828 13,828 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-15 1 1 13,7912 13,7912 13,7912 13,7912 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-16 1 1 13,839 13,839 13,839 13,839 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-17 1 1 13,7827 13,7827 13,7827 13,7827 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-18 1 1 13,6887 13,6887 13,6887 13,6887 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-21 1 1 13,6976 13,6976 13,6976 13,6976 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-22 1 1 13,4766 13,4766 13,4766 13,4766 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-23 1 1 13,3588 13,3588 13,3588 13,3588 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-24 1 1 13,295 13,295 13,295 13,295 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-25 1 1 13,5 13,5 13,5 13,5 194092 SEB Investment Management SEB Teknologifond SEK 2005-02-28 1 1 13,5459 13,5459 13,5459 13,5459 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-01 1 1 13,5834 13,5834 13,5834 13,5834 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-02 1 1 13,6394 13,6394 13,6394 13,6394 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-03 1 1 13,6314 13,6314 13,6314 13,6314 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-04 1 1 13,4904 13,4904 13,4904 13,4904 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-07 1 1 13,5687 13,5687 13,5687 13,5687 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-08 1 1 13,5012 13,5012 13,5012 13,5012 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-09 1 1 13,3812 13,3812 13,3812 13,3812 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-10 1 1 13,3013 13,3013 13,3013 13,3013 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-11 1 1 13,307 13,307 13,307 13,307 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-14 1 1 13,1934 13,1934 13,1934 13,1934 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-15 1 1 13,247 13,247 13,247 13,247 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-16 1 1 13,0178 13,0178 13,0178 13,0178 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-17 1 1 12,9751 12,9751 12,9751 12,9751 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-18 1 1 13,0148 13,0148 13,0148 13,0148 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-21 1 1 13,0789 13,0789 13,0789 13,0789 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-22 1 1 13,1024 13,1024 13,1024 13,1024 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-23 1 1 13,1458 13,1458 13,1458 13,1458 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-24 1 1 13,1701 13,1701 13,1701 13,1701 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-29 1 1 13,2605 13,2605 13,2605 13,2605 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-30 1 1 13,0947 13,0947 13,0947 13,0947 194092 SEB Investment Management SEB Teknologifond SEK 2005-03-31 1 1 13,3447 13,3447 13,3447 13,3447 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-01 1 1 13,3853 13,3853 13,3853 13,3853 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-04 1 1 13,4661 13,4661 13,4661 13,4661 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-05 1 1 13,539 13,539 13,539 13,539 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-06 1 1 13,4564 13,4564 13,4564 13,4564 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-07 1 1 13,3586 13,3586 13,3586 13,3586 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-08 1 1 13,5864 13,5864 13,5864 13,5864 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-11 1 1 13,3236 13,3236 13,3236 13,3236 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-12 1 1 13,2468 13,2468 13,2468 13,2468 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-13 1 1 13,3608 13,3608 13,3608 13,3608 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-14 1 1 13,3447 13,3447 13,3447 13,3447 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-15 1 1 12,855 12,855 12,855 12,855 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-18 1 1 12,603 12,603 12,603 12,603 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-19 1 1 12,7362 12,7362 12,7362 12,7362 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-20 1 1 12,737 12,737 12,737 12,737 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-21 1 1 12,7796 12,7796 12,7796 12,7796 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-22 1 1 12,8329 12,8329 12,8329 12,8329 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-25 1 1 12,874 12,874 12,874 12,874 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-26 1 1 12,8429 12,8429 12,8429 12,8429 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-27 1 1 12,6566 12,6566 12,6566 12,6566 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-28 1 1 12,7427 12,7427 12,7427 12,7427 194092 SEB Investment Management SEB Teknologifond SEK 2005-04-29 1 1 12,7386 12,7386 12,7386 12,7386 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-02 1 1 12,9219 12,9219 12,9219 12,9219 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-03 1 1 12,9252 12,9252 12,9252 12,9252 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-04 1 1 12,8808 12,8808 12,8808 12,8808 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-06 1 1 13,2136 13,2136 13,2136 13,2136 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-09 1 1 13,2469 13,2469 13,2469 13,2469 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-10 1 1 13,1918 13,1918 13,1918 13,1918 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-11 1 1 13,2466 13,2466 13,2466 13,2466 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-12 1 1 13,3666 13,3666 13,3666 13,3666 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-13 1 1 13,5452 13,5452 13,5452 13,5452 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-16 1 1 13,6946 13,6946 13,6946 13,6946 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-17 1 1 13,728 13,728 13,728 13,728 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-18 1 1 13,8605 13,8605 13,8605 13,8605 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-19 1 1 14,1078 14,1078 14,1078 14,1078 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-20 1 1 14,1423 14,1423 14,1423 14,1423 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-23 1 1 14,2264 14,2264 14,2264 14,2264 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-24 1 1 14,1598 14,1598 14,1598 14,1598 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-25 1 1 14,1152 14,1152 14,1152 14,1152 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-26 1 1 14,2637 14,2637 14,2637 14,2637 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-27 1 1 14,3167 14,3167 14,3167 14,3167 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-30 1 1 14,401 14,401 14,401 14,401 194092 SEB Investment Management SEB Teknologifond SEK 2005-05-31 1 1 14,4106 14,4106 14,4106 14,4106 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-01 1 1 14,4451 14,4451 14,4451 14,4451 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-02 1 1 14,6167 14,6167 14,6167 14,6167 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-03 1 1 14,5786 14,5786 14,5786 14,5786 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-07 1 1 14,5178 14,5178 14,5178 14,5178 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-08 1 1 14,5197 14,5197 14,5197 14,5197 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-09 1 1 14,52 14,52 14,52 14,52 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-10 1 1 14,7281 14,7281 14,7281 14,7281 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-13 1 1 14,8563 14,8563 14,8563 14,8563 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-14 1 1 14,9036 14,9036 14,9036 14,9036 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-15 1 1 14,8283 14,8283 14,8283 14,8283 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-16 1 1 14,8719 14,8719 14,8719 14,8719 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-17 1 1 14,7687 14,7687 14,7687 14,7687 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-20 1 1 14,7167 14,7167 14,7167 14,7167 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-21 1 1 14,8173 14,8173 14,8173 14,8173 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-22 1 1 15,0407 15,0407 15,0407 15,0407 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-23 1 1 15,3444 15,3444 15,3444 15,3444 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-27 1 1 14,7859 14,7859 14,7859 14,7859 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-28 1 1 14,8817 14,8817 14,8817 14,8817 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-29 1 1 15,0662 15,0662 15,0662 15,0662 194092 SEB Investment Management SEB Teknologifond SEK 2005-06-30 1 1 15,0692 15,0692 15,0692 15,0692 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-01 1 1 15,0814 15,0814 15,0814 15,0814 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-04 1 1 15,2082 15,2082 15,2082 15,2082 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-05 1 1 15,0795 15,0795 15,0795 15,0795 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-06 1 1 15,1975 15,1975 15,1975 15,1975 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-07 1 1 15,0612 15,0612 15,0612 15,0612 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-08 1 1 15,2021 15,2021 15,2021 15,2021 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-11 1 1 15,5759 15,5759 15,5759 15,5759 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-12 1 1 15,4294 15,4294 15,4294 15,4294 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-13 1 1 15,4719 15,4719 15,4719 15,4719 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-14 1 1 15,6844 15,6844 15,6844 15,6844 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-15 1 1 15,6595 15,6595 15,6595 15,6595 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-18 1 1 15,6591 15,6591 15,6591 15,6591 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-19 1 1 15,9353 15,9353 15,9353 15,9353 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-20 1 1 15,824 15,824 15,824 15,824 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-21 1 1 15,8508 15,8508 15,8508 15,8508 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-22 1 1 15,8038 15,8038 15,8038 15,8038 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-25 1 1 15,8098 15,8098 15,8098 15,8098 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-26 1 1 15,9517 15,9517 15,9517 15,9517 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-27 1 1 15,8299 15,8299 15,8299 15,8299 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-28 1 1 15,8609 15,8609 15,8609 15,8609 194092 SEB Investment Management SEB Teknologifond SEK 2005-07-29 1 1 15,8234 15,8234 15,8234 15,8234 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-01 1 1 15,6051 15,6051 15,6051 15,6051 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-02 1 1 15,6146 15,6146 15,6146 15,6146 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-03 1 1 15,5956 15,5956 15,5956 15,5956 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-04 1 1 15,4959 15,4959 15,4959 15,4959 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-05 1 1 15,3554 15,3554 15,3554 15,3554 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-08 1 1 15,3084 15,3084 15,3084 15,3084 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-09 1 1 15,3873 15,3873 15,3873 15,3873 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-10 1 1 15,4274 15,4274 15,4274 15,4274 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-11 1 1 15,1433 15,1433 15,1433 15,1433 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-12 1 1 15,0875 15,0875 15,0875 15,0875 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-15 1 1 15,1224 15,1224 15,1224 15,1224 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-16 1 1 15,2021 15,2021 15,2021 15,2021 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-17 1 1 15,2015 15,2015 15,2015 15,2015 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-18 1 1 15,2468 15,2468 15,2468 15,2468 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-19 1 1 15,2844 15,2844 15,2844 15,2844 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-22 1 1 15,3323 15,3323 15,3323 15,3323 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-23 1 1 15,2661 15,2661 15,2661 15,2661 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-24 1 1 15,0889 15,0889 15,0889 15,0889 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-25 1 1 15,0418 15,0418 15,0418 15,0418 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-26 1 1 14,9588 14,9588 14,9588 14,9588 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-29 1 1 14,933 14,933 14,933 14,933 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-30 1 1 15,1054 15,1054 15,1054 15,1054 194092 SEB Investment Management SEB Teknologifond SEK 2005-08-31 1 1 15,0181 15,0181 15,0181 15,0181 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-01 1 1 14,9781 14,9781 14,9781 14,9781 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-02 1 1 14,8202 14,8202 14,8202 14,8202 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-05 1 1 14,8293 14,8293 14,8293 14,8293 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-06 1 1 14,9915 14,9915 14,9915 14,9915 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-07 1 1 15,1333 15,1333 15,1333 15,1333 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-08 1 1 15,2364 15,2364 15,2364 15,2364 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-09 1 1 15,2922 15,2922 15,2922 15,2922 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-12 1 1 15,4733 15,4733 15,4733 15,4733 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-13 1 1 15,5771 15,5771 15,5771 15,5771 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-14 1 1 15,5763 15,5763 15,5763 15,5763 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-15 1 1 15,5635 15,5635 15,5635 15,5635 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-16 1 1 15,5026 15,5026 15,5026 15,5026 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-19 1 1 15,5456 15,5456 15,5456 15,5456 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-20 1 1 15,5811 15,5811 15,5811 15,5811 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-21 1 1 15,3833 15,3833 15,3833 15,3833 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-22 1 1 15,2796 15,2796 15,2796 15,2796 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-23 1 1 15,3524 15,3524 15,3524 15,3524 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-26 1 1 15,5428 15,5428 15,5428 15,5428 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-27 1 1 15,5525 15,5525 15,5525 15,5525 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-28 1 1 15,5808 15,5808 15,5808 15,5808 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-29 1 1 15,4906 15,4906 15,4906 15,4906 194092 SEB Investment Management SEB Teknologifond SEK 2005-09-30 1 1 15,7055 15,7055 15,7055 15,7055 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-03 1 1 15,9591 15,9591 15,9591 15,9591 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-04 1 1 15,9483 15,9483 15,9483 15,9483 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-05 1 1 15,8241 15,8241 15,8241 15,8241 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-06 1 1 15,3842 15,3842 15,3842 15,3842 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-07 1 1 15,3795 15,3795 15,3795 15,3795 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-10 1 1 15,377 15,377 15,377 15,377 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-11 1 1 15,4054 15,4054 15,4054 15,4054 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-12 1 1 15,2246 15,2246 15,2246 15,2246 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-13 1 1 15,2427 15,2427 15,2427 15,2427 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-14 1 1 15,3372 15,3372 15,3372 15,3372 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-17 1 1 15,3897 15,3897 15,3897 15,3897 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-18 1 1 15,416 15,416 15,416 15,416 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-19 1 1 15,2374 15,2374 15,2374 15,2374 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-20 1 1 15,4971 15,4971 15,4971 15,4971 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-21 1 1 15,4201 15,4201 15,4201 15,4201 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-24 1 1 15,6518 15,6518 15,6518 15,6518 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-25 1 1 15,5326 15,5326 15,5326 15,5326 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-26 1 1 15,5485 15,5485 15,5485 15,5485 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-27 1 1 15,3523 15,3523 15,3523 15,3523 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-28 1 1 15,2553 15,2553 15,2553 15,2553 194092 SEB Investment Management SEB Teknologifond SEK 2005-10-31 1 1 15,6455 15,6455 15,6455 15,6455 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-01 1 1 15,8891 15,8891 15,8891 15,8891 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-02 1 1 15,7733 15,7733 15,7733 15,7733 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-03 1 1 16,0437 16,0437 16,0437 16,0437 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-04 1 1 16,1375 16,1375 16,1375 16,1375 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-07 1 1 16,4184 16,4184 16,4184 16,4184 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-08 1 1 16,3445 16,3445 16,3445 16,3445 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-09 1 1 16,4615 16,4615 16,4615 16,4615 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-10 1 1 16,5747 16,5747 16,5747 16,5747 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-11 1 1 16,7648 16,7648 16,7648 16,7648 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-14 1 1 16,7256 16,7256 16,7256 16,7256 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-15 1 1 16,7969 16,7969 16,7969 16,7969 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-16 1 1 16,8392 16,8392 16,8392 16,8392 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-17 1 1 16,9064 16,9064 16,9064 16,9064 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-18 1 1 16,955 16,955 16,955 16,955 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-21 1 1 16,7878 16,7878 16,7878 16,7878 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-22 1 1 16,9081 16,9081 16,9081 16,9081 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-23 1 1 16,9433 16,9433 16,9433 16,9433 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-24 1 1 16,9767 16,9767 16,9767 16,9767 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-25 1 1 16,9741 16,9741 16,9741 16,9741 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-28 1 1 16,979 16,979 16,979 16,979 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-29 1 1 16,9975 16,9975 16,9975 16,9975 194092 SEB Investment Management SEB Teknologifond SEK 2005-11-30 1 1 16,9982 16,9982 16,9982 16,9982 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-01 1 1 17,1768 17,1768 17,1768 17,1768 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-02 1 1 17,0572 17,0572 17,0572 17,0572 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-05 1 1 16,933 16,933 16,933 16,933 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-06 1 1 16,8568 16,8568 16,8568 16,8568 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-07 1 1 16,9508 16,9508 16,9508 16,9508 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-08 1 1 16,8108 16,8108 16,8108 16,8108 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-12 1 1 16,6848 16,6848 16,6848 16,6848 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-13 1 1 16,6806 16,6806 16,6806 16,6806 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-14 1 1 16,5991 16,5991 16,5991 16,5991 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-15 1 1 16,6455 16,6455 16,6455 16,6455 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-16 1 1 16,6547 16,6547 16,6547 16,6547 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-19 1 1 16,6059 16,6059 16,6059 16,6059 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-20 1 1 16,5119 16,5119 16,5119 16,5119 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-21 1 1 16,7487 16,7487 16,7487 16,7487 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-22 1 1 16,8127 16,8127 16,8127 16,8127 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-23 1 1 16,9926 16,9926 16,9926 16,9926 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-27 1 1 16,9971 16,9971 16,9971 16,9971 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-28 1 1 16,6998 16,6998 16,6998 16,6998 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-29 1 1 16,7988 16,7988 16,7988 16,7988 194092 SEB Investment Management SEB Teknologifond SEK 2005-12-30 1 1 16,6377 16,6377 16,6377 16,6377 879114 SEB Investment Management SEB Världenfond SEK 2005-01-03 1 1 7,6078 7,6078 7,6078 7,6078 879114 SEB Investment Management SEB Världenfond SEK 2005-01-04 1 1 7,6425 7,6425 7,6425 7,6425 879114 SEB Investment Management SEB Världenfond SEK 2005-01-05 1 1 7,6043 7,6043 7,6043 7,6043 879114 SEB Investment Management SEB Världenfond SEK 2005-01-07 1 1 7,6301 7,6301 7,6301 7,6301 879114 SEB Investment Management SEB Världenfond SEK 2005-01-10 1 1 7,671 7,671 7,671 7,671 879114 SEB Investment Management SEB Världenfond SEK 2005-01-11 1 1 7,6328 7,6328 7,6328 7,6328 879114 SEB Investment Management SEB Världenfond SEK 2005-01-12 1 1 7,5781 7,5781 7,5781 7,5781 879114 SEB Investment Management SEB Världenfond SEK 2005-01-13 1 1 7,588 7,588 7,588 7,588 879114 SEB Investment Management SEB Världenfond SEK 2005-01-14 1 1 7,6116 7,6116 7,6116 7,6116 879114 SEB Investment Management SEB Världenfond SEK 2005-01-17 1 1 7,6487 7,6487 7,6487 7,6487 879114 SEB Investment Management SEB Världenfond SEK 2005-01-18 1 1 7,6271 7,6271 7,6271 7,6271 879114 SEB Investment Management SEB Världenfond SEK 2005-01-19 1 1 7,6636 7,6636 7,6636 7,6636 879114 SEB Investment Management SEB Världenfond SEK 2005-01-20 1 1 7,6068 7,6068 7,6068 7,6068 879114 SEB Investment Management SEB Världenfond SEK 2005-01-21 1 1 7,6066 7,6066 7,6066 7,6066 879114 SEB Investment Management SEB Världenfond SEK 2005-01-24 1 1 7,5609 7,5609 7,5609 7,5609 879114 SEB Investment Management SEB Världenfond SEK 2005-01-25 1 1 7,6047 7,6047 7,6047 7,6047 879114 SEB Investment Management SEB Världenfond SEK 2005-01-26 1 1 7,6286 7,6286 7,6286 7,6286 879114 SEB Investment Management SEB Världenfond SEK 2005-01-27 1 1 7,6366 7,6366 7,6366 7,6366 879114 SEB Investment Management SEB Världenfond SEK 2005-01-28 1 1 7,6365 7,6365 7,6365 7,6365 879114 SEB Investment Management SEB Världenfond SEK 2005-01-31 1 1 7,6736 7,6736 7,6736 7,6736 879114 SEB Investment Management SEB Världenfond SEK 2005-02-01 1 1 7,6886 7,6886 7,6886 7,6886 879114 SEB Investment Management SEB Världenfond SEK 2005-02-02 1 1 7,7229 7,7229 7,7229 7,7229 879114 SEB Investment Management SEB Världenfond SEK 2005-02-03 1 1 7,7301 7,7301 7,7301 7,7301 879114 SEB Investment Management SEB Världenfond SEK 2005-02-04 1 1 7,7716 7,7716 7,7716 7,7716 879114 SEB Investment Management SEB Världenfond SEK 2005-02-07 1 1 7,8456 7,8456 7,8456 7,8456 879114 SEB Investment Management SEB Världenfond SEK 2005-02-08 1 1 7,8654 7,8654 7,8654 7,8654 879114 SEB Investment Management SEB Världenfond SEK 2005-02-09 1 1 7,8653 7,8653 7,8653 7,8653 879114 SEB Investment Management SEB Världenfond SEK 2005-02-10 1 1 7,8149 7,8149 7,8149 7,8149 879114 SEB Investment Management SEB Världenfond SEK 2005-02-11 1 1 7,8482 7,8482 7,8482 7,8482 879114 SEB Investment Management SEB Världenfond SEK 2005-02-14 1 1 7,8572 7,8572 7,8572 7,8572 879114 SEB Investment Management SEB Världenfond SEK 2005-02-15 1 1 7,8703 7,8703 7,8703 7,8703 879114 SEB Investment Management SEB Världenfond SEK 2005-02-16 1 1 7,8305 7,8305 7,8305 7,8305 879114 SEB Investment Management SEB Världenfond SEK 2005-02-17 1 1 7,841 7,841 7,841 7,841 879114 SEB Investment Management SEB Världenfond SEK 2005-02-18 1 1 7,808 7,808 7,808 7,808 879114 SEB Investment Management SEB Världenfond SEK 2005-02-21 1 1 7,8224 7,8224 7,8224 7,8224 879114 SEB Investment Management SEB Världenfond SEK 2005-02-22 1 1 7,7625 7,7625 7,7625 7,7625 879114 SEB Investment Management SEB Världenfond SEK 2005-02-23 1 1 7,7522 7,7522 7,7522 7,7522 879114 SEB Investment Management SEB Världenfond SEK 2005-02-24 1 1 7,7489 7,7489 7,7489 7,7489 879114 SEB Investment Management SEB Världenfond SEK 2005-02-25 1 1 7,7992 7,7992 7,7992 7,7992 879114 SEB Investment Management SEB Världenfond SEK 2005-02-28 1 1 7,8192 7,8192 7,8192 7,8192 879114 SEB Investment Management SEB Världenfond SEK 2005-03-01 1 1 7,832 7,832 7,832 7,832 879114 SEB Investment Management SEB Världenfond SEK 2005-03-02 1 1 7,8486 7,8486 7,8486 7,8486 879114 SEB Investment Management SEB Världenfond SEK 2005-03-03 1 1 7,8773 7,8773 7,8773 7,8773 879114 SEB Investment Management SEB Världenfond SEK 2005-03-04 1 1 7,8846 7,8846 7,8846 7,8846 879114 SEB Investment Management SEB Världenfond SEK 2005-03-07 1 1 7,8932 7,8932 7,8932 7,8932 879114 SEB Investment Management SEB Världenfond SEK 2005-03-08 1 1 7,8526 7,8526 7,8526 7,8526 879114 SEB Investment Management SEB Världenfond SEK 2005-03-09 1 1 7,8258 7,8258 7,8258 7,8258 879114 SEB Investment Management SEB Världenfond SEK 2005-03-10 1 1 7,7845 7,7845 7,7845 7,7845 879114 SEB Investment Management SEB Världenfond SEK 2005-03-11 1 1 7,7941 7,7941 7,7941 7,7941 879114 SEB Investment Management SEB Världenfond SEK 2005-03-14 1 1 7,7915 7,7915 7,7915 7,7915 879114 SEB Investment Management SEB Världenfond SEK 2005-03-15 1 1 7,8479 7,8479 7,8479 7,8479 879114 SEB Investment Management SEB Världenfond SEK 2005-03-16 1 1 7,7738 7,7738 7,7738 7,7738 879114 SEB Investment Management SEB Världenfond SEK 2005-03-17 1 1 7,7706 7,7706 7,7706 7,7706 879114 SEB Investment Management SEB Världenfond SEK 2005-03-18 1 1 7,7918 7,7918 7,7918 7,7918 879114 SEB Investment Management SEB Världenfond SEK 2005-03-21 1 1 7,7964 7,7964 7,7964 7,7964 879114 SEB Investment Management SEB Världenfond SEK 2005-03-22 1 1 7,8048 7,8048 7,8048 7,8048 879114 SEB Investment Management SEB Världenfond SEK 2005-03-23 1 1 7,7812 7,7812 7,7812 7,7812 879114 SEB Investment Management SEB Världenfond SEK 2005-03-24 1 1 7,8052 7,8052 7,8052 7,8052 879114 SEB Investment Management SEB Världenfond SEK 2005-03-29 1 1 7,8287 7,8287 7,8287 7,8287 879114 SEB Investment Management SEB Världenfond SEK 2005-03-30 1 1 7,7868 7,7868 7,7868 7,7868 879114 SEB Investment Management SEB Världenfond SEK 2005-03-31 1 1 7,8499 7,8499 7,8499 7,8499 879114 SEB Investment Management SEB Världenfond SEK 2005-04-01 1 1 7,8785 7,8785 7,8785 7,8785 879114 SEB Investment Management SEB Världenfond SEK 2005-04-04 1 1 7,8713 7,8713 7,8713 7,8713 879114 SEB Investment Management SEB Världenfond SEK 2005-04-05 1 1 7,9228 7,9228 7,9228 7,9228 879114 SEB Investment Management SEB Världenfond SEK 2005-04-06 1 1 7,9339 7,9339 7,9339 7,9339 879114 SEB Investment Management SEB Världenfond SEK 2005-04-07 1 1 7,9281 7,9281 7,9281 7,9281 879114 SEB Investment Management SEB Världenfond SEK 2005-04-08 1 1 7,9793 7,9793 7,9793 7,9793 879114 SEB Investment Management SEB Världenfond SEK 2005-04-11 1 1 7,9446 7,9446 7,9446 7,9446 879114 SEB Investment Management SEB Världenfond SEK 2005-04-12 1 1 7,9323 7,9323 7,9323 7,9323 879114 SEB Investment Management SEB Världenfond SEK 2005-04-13 1 1 7,9784 7,9784 7,9784 7,9784 879114 SEB Investment Management SEB Världenfond SEK 2005-04-14 1 1 7,9946 7,9946 7,9946 7,9946 879114 SEB Investment Management SEB Världenfond SEK 2005-04-15 1 1 7,898 7,898 7,898 7,898 879114 SEB Investment Management SEB Världenfond SEK 2005-04-18 1 1 7,8022 7,8022 7,8022 7,8022 879114 SEB Investment Management SEB Världenfond SEK 2005-04-19 1 1 7,8321 7,8321 7,8321 7,8321 879114 SEB Investment Management SEB Världenfond SEK 2005-04-20 1 1 7,819 7,819 7,819 7,819 879114 SEB Investment Management SEB Världenfond SEK 2005-04-21 1 1 7,8153 7,8153 7,8153 7,8153 879114 SEB Investment Management SEB Världenfond SEK 2005-04-22 1 1 7,8539 7,8539 7,8539 7,8539 879114 SEB Investment Management SEB Världenfond SEK 2005-04-25 1 1 7,859 7,859 7,859 7,859 879114 SEB Investment Management SEB Världenfond SEK 2005-04-26 1 1 7,8266 7,8266 7,8266 7,8266 879114 SEB Investment Management SEB Världenfond SEK 2005-04-27 1 1 7,7454 7,7454 7,7454 7,7454 879114 SEB Investment Management SEB Världenfond SEK 2005-04-28 1 1 7,7382 7,7382 7,7382 7,7382 879114 SEB Investment Management SEB Världenfond SEK 2005-04-29 1 1 7,7677 7,7677 7,7677 7,7677 879114 SEB Investment Management SEB Världenfond SEK 2005-05-02 1 1 7,8293 7,8293 7,8293 7,8293 879114 SEB Investment Management SEB Världenfond SEK 2005-05-03 1 1 7,8353 7,8353 7,8353 7,8353 879114 SEB Investment Management SEB Världenfond SEK 2005-05-04 1 1 7,8146 7,8146 7,8146 7,8146 879114 SEB Investment Management SEB Världenfond SEK 2005-05-06 1 1 7,8934 7,8934 7,8934 7,8934 879114 SEB Investment Management SEB Världenfond SEK 2005-05-09 1 1 7,8964 7,8964 7,8964 7,8964 879114 SEB Investment Management SEB Världenfond SEK 2005-05-10 1 1 7,8812 7,8812 7,8812 7,8812 879114 SEB Investment Management SEB Världenfond SEK 2005-05-11 1 1 7,8964 7,8964 7,8964 7,8964 879114 SEB Investment Management SEB Världenfond SEK 2005-05-12 1 1 7,9275 7,9275 7,9275 7,9275 879114 SEB Investment Management SEB Världenfond SEK 2005-05-13 1 1 7,913 7,913 7,913 7,913 879114 SEB Investment Management SEB Världenfond SEK 2005-05-16 1 1 7,9343 7,9343 7,9343 7,9343 879114 SEB Investment Management SEB Världenfond SEK 2005-05-17 1 1 7,9435 7,9435 7,9435 7,9435 879114 SEB Investment Management SEB Världenfond SEK 2005-05-18 1 1 8,0024 8,0024 8,0024 8,0024 879114 SEB Investment Management SEB Världenfond SEK 2005-05-19 1 1 8,0293 8,0293 8,0293 8,0293 879114 SEB Investment Management SEB Världenfond SEK 2005-05-20 1 1 8,033 8,033 8,033 8,033 879114 SEB Investment Management SEB Världenfond SEK 2005-05-23 1 1 8,0462 8,0462 8,0462 8,0462 879114 SEB Investment Management SEB Världenfond SEK 2005-05-24 1 1 8,0524 8,0524 8,0524 8,0524 879114 SEB Investment Management SEB Världenfond SEK 2005-05-25 1 1 8,0487 8,0487 8,0487 8,0487 879114 SEB Investment Management SEB Världenfond SEK 2005-05-26 1 1 8,0896 8,0896 8,0896 8,0896 879114 SEB Investment Management SEB Världenfond SEK 2005-05-27 1 1 8,1028 8,1028 8,1028 8,1028 879114 SEB Investment Management SEB Världenfond SEK 2005-05-30 1 1 8,133 8,133 8,133 8,133 879114 SEB Investment Management SEB Världenfond SEK 2005-05-31 1 1 8,1463 8,1463 8,1463 8,1463 879114 SEB Investment Management SEB Världenfond SEK 2005-06-01 1 1 8,1701 8,1701 8,1701 8,1701 879114 SEB Investment Management SEB Världenfond SEK 2005-06-02 1 1 8,18 8,18 8,18 8,18 879114 SEB Investment Management SEB Världenfond SEK 2005-06-03 1 1 8,1709 8,1709 8,1709 8,1709 879114 SEB Investment Management SEB Världenfond SEK 2005-06-07 1 1 8,2032 8,2032 8,2032 8,2032 879114 SEB Investment Management SEB Världenfond SEK 2005-06-08 1 1 8,2313 8,2313 8,2313 8,2313 879114 SEB Investment Management SEB Världenfond SEK 2005-06-09 1 1 8,228 8,228 8,228 8,228 879114 SEB Investment Management SEB Världenfond SEK 2005-06-10 1 1 8,2905 8,2905 8,2905 8,2905 879114 SEB Investment Management SEB Världenfond SEK 2005-06-13 1 1 8,3199 8,3199 8,3199 8,3199 879114 SEB Investment Management SEB Världenfond SEK 2005-06-14 1 1 8,365 8,365 8,365 8,365 879114 SEB Investment Management SEB Världenfond SEK 2005-06-15 1 1 8,3463 8,3463 8,3463 8,3463 879114 SEB Investment Management SEB Världenfond SEK 2005-06-16 1 1 8,3617 8,3617 8,3617 8,3617 879114 SEB Investment Management SEB Världenfond SEK 2005-06-17 1 1 8,3695 8,3695 8,3695 8,3695 879114 SEB Investment Management SEB Världenfond SEK 2005-06-20 1 1 8,3539 8,3539 8,3539 8,3539 879114 SEB Investment Management SEB Världenfond SEK 2005-06-21 1 1 8,393 8,393 8,393 8,393 879114 SEB Investment Management SEB Världenfond SEK 2005-06-22 1 1 8,444 8,444 8,444 8,444 879114 SEB Investment Management SEB Världenfond SEK 2005-06-23 1 1 8,5062 8,5062 8,5062 8,5062 879114 SEB Investment Management SEB Världenfond SEK 2005-06-27 1 1 8,3813 8,3813 8,3813 8,3813 879114 SEB Investment Management SEB Världenfond SEK 2005-06-28 1 1 8,4341 8,4341 8,4341 8,4341 879114 SEB Investment Management SEB Världenfond SEK 2005-06-29 1 1 8,5004 8,5004 8,5004 8,5004 879114 SEB Investment Management SEB Världenfond SEK 2005-06-30 1 1 8,5214 8,5214 8,5214 8,5214 879114 SEB Investment Management SEB Världenfond SEK 2005-07-01 1 1 8,525 8,525 8,525 8,525 879114 SEB Investment Management SEB Världenfond SEK 2005-07-04 1 1 8,5835 8,5835 8,5835 8,5835 879114 SEB Investment Management SEB Världenfond SEK 2005-07-05 1 1 8,5515 8,5515 8,5515 8,5515 879114 SEB Investment Management SEB Världenfond SEK 2005-07-06 1 1 8,5638 8,5638 8,5638 8,5638 879114 SEB Investment Management SEB Världenfond SEK 2005-07-07 1 1 8,4718 8,4718 8,4718 8,4718 879114 SEB Investment Management SEB Världenfond SEK 2005-07-08 1 1 8,5511 8,5511 8,5511 8,5511 879114 SEB Investment Management SEB Världenfond SEK 2005-07-11 1 1 8,6347 8,6347 8,6347 8,6347 879114 SEB Investment Management SEB Världenfond SEK 2005-07-12 1 1 8,594 8,594 8,594 8,594 879114 SEB Investment Management SEB Världenfond SEK 2005-07-13 1 1 8,5993 8,5993 8,5993 8,5993 879114 SEB Investment Management SEB Världenfond SEK 2005-07-14 1 1 8,6298 8,6298 8,6298 8,6298 879114 SEB Investment Management SEB Världenfond SEK 2005-07-15 1 1 8,6128 8,6128 8,6128 8,6128 879114 SEB Investment Management SEB Världenfond SEK 2005-07-18 1 1 8,6095 8,6095 8,6095 8,6095 879114 SEB Investment Management SEB Världenfond SEK 2005-07-19 1 1 8,6382 8,6382 8,6382 8,6382 879114 SEB Investment Management SEB Världenfond SEK 2005-07-20 1 1 8,6164 8,6164 8,6164 8,6164 879114 SEB Investment Management SEB Världenfond SEK 2005-07-21 1 1 8,639 8,639 8,639 8,639 879114 SEB Investment Management SEB Världenfond SEK 2005-07-22 1 1 8,6369 8,6369 8,6369 8,6369 879114 SEB Investment Management SEB Världenfond SEK 2005-07-25 1 1 8,6386 8,6386 8,6386 8,6386 879114 SEB Investment Management SEB Världenfond SEK 2005-07-26 1 1 8,687 8,687 8,687 8,687 879114 SEB Investment Management SEB Världenfond SEK 2005-07-27 1 1 8,6987 8,6987 8,6987 8,6987 879114 SEB Investment Management SEB Världenfond SEK 2005-07-28 1 1 8,7113 8,7113 8,7113 8,7113 879114 SEB Investment Management SEB Världenfond SEK 2005-07-29 1 1 8,7172 8,7172 8,7172 8,7172 879114 SEB Investment Management SEB Världenfond SEK 2005-08-01 1 1 8,6786 8,6786 8,6786 8,6786 879114 SEB Investment Management SEB Världenfond SEK 2005-08-02 1 1 8,7007 8,7007 8,7007 8,7007 879114 SEB Investment Management SEB Världenfond SEK 2005-08-03 1 1 8,6874 8,6874 8,6874 8,6874 879114 SEB Investment Management SEB Världenfond SEK 2005-08-04 1 1 8,6451 8,6451 8,6451 8,6451 879114 SEB Investment Management SEB Världenfond SEK 2005-08-05 1 1 8,6064 8,6064 8,6064 8,6064 879114 SEB Investment Management SEB Världenfond SEK 2005-08-08 1 1 8,6042 8,6042 8,6042 8,6042 879114 SEB Investment Management SEB Världenfond SEK 2005-08-09 1 1 8,6198 8,6198 8,6198 8,6198 879114 SEB Investment Management SEB Världenfond SEK 2005-08-10 1 1 8,6903 8,6903 8,6903 8,6903 879114 SEB Investment Management SEB Världenfond SEK 2005-08-11 1 1 8,6603 8,6603 8,6603 8,6603 879114 SEB Investment Management SEB Världenfond SEK 2005-08-12 1 1 8,654 8,654 8,654 8,654 879114 SEB Investment Management SEB Världenfond SEK 2005-08-15 1 1 8,6577 8,6577 8,6577 8,6577 879114 SEB Investment Management SEB Världenfond SEK 2005-08-16 1 1 8,6807 8,6807 8,6807 8,6807 879114 SEB Investment Management SEB Världenfond SEK 2005-08-17 1 1 8,6441 8,6441 8,6441 8,6441 879114 SEB Investment Management SEB Världenfond SEK 2005-08-18 1 1 8,6607 8,6607 8,6607 8,6607 879114 SEB Investment Management SEB Världenfond SEK 2005-08-19 1 1 8,7149 8,7149 8,7149 8,7149 879114 SEB Investment Management SEB Världenfond SEK 2005-08-22 1 1 8,7311 8,7311 8,7311 8,7311 879114 SEB Investment Management SEB Världenfond SEK 2005-08-23 1 1 8,6962 8,6962 8,6962 8,6962 879114 SEB Investment Management SEB Världenfond SEK 2005-08-24 1 1 8,6179 8,6179 8,6179 8,6179 879114 SEB Investment Management SEB Världenfond SEK 2005-08-25 1 1 8,5871 8,5871 8,5871 8,5871 879114 SEB Investment Management SEB Världenfond SEK 2005-08-26 1 1 8,5428 8,5428 8,5428 8,5428 879114 SEB Investment Management SEB Världenfond SEK 2005-08-29 1 1 8,5431 8,5431 8,5431 8,5431 879114 SEB Investment Management SEB Världenfond SEK 2005-08-30 1 1 8,5979 8,5979 8,5979 8,5979 879114 SEB Investment Management SEB Världenfond SEK 2005-08-31 1 1 8,6038 8,6038 8,6038 8,6038 879114 SEB Investment Management SEB Världenfond SEK 2005-09-01 1 1 8,6474 8,6474 8,6474 8,6474 879114 SEB Investment Management SEB Världenfond SEK 2005-09-02 1 1 8,5966 8,5966 8,5966 8,5966 879114 SEB Investment Management SEB Världenfond SEK 2005-09-05 1 1 8,6188 8,6188 8,6188 8,6188 879114 SEB Investment Management SEB Världenfond SEK 2005-09-06 1 1 8,6643 8,6643 8,6643 8,6643 879114 SEB Investment Management SEB Världenfond SEK 2005-09-07 1 1 8,695 8,695 8,695 8,695 879114 SEB Investment Management SEB Världenfond SEK 2005-09-08 1 1 8,6894 8,6894 8,6894 8,6894 879114 SEB Investment Management SEB Världenfond SEK 2005-09-09 1 1 8,7259 8,7259 8,7259 8,7259 879114 SEB Investment Management SEB Världenfond SEK 2005-09-12 1 1 8,7575 8,7575 8,7575 8,7575 879114 SEB Investment Management SEB Världenfond SEK 2005-09-13 1 1 8,7535 8,7535 8,7535 8,7535 879114 SEB Investment Management SEB Världenfond SEK 2005-09-14 1 1 8,7727 8,7727 8,7727 8,7727 879114 SEB Investment Management SEB Världenfond SEK 2005-09-15 1 1 8,7802 8,7802 8,7802 8,7802 879114 SEB Investment Management SEB Världenfond SEK 2005-09-16 1 1 8,7982 8,7982 8,7982 8,7982 879114 SEB Investment Management SEB Världenfond SEK 2005-09-19 1 1 8,8166 8,8166 8,8166 8,8166 879114 SEB Investment Management SEB Världenfond SEK 2005-09-20 1 1 8,8166 8,8166 8,8166 8,8166 879114 SEB Investment Management SEB Världenfond SEK 2005-09-21 1 1 8,7582 8,7582 8,7582 8,7582 879114 SEB Investment Management SEB Världenfond SEK 2005-09-22 1 1 8,7549 8,7549 8,7549 8,7549 879114 SEB Investment Management SEB Världenfond SEK 2005-09-23 1 1 8,7829 8,7829 8,7829 8,7829 879114 SEB Investment Management SEB Världenfond SEK 2005-09-26 1 1 8,8589 8,8589 8,8589 8,8589 879114 SEB Investment Management SEB Världenfond SEK 2005-09-27 1 1 8,8793 8,8793 8,8793 8,8793 879114 SEB Investment Management SEB Världenfond SEK 2005-09-28 1 1 8,9129 8,9129 8,9129 8,9129 879114 SEB Investment Management SEB Världenfond SEK 2005-09-29 1 1 8,8968 8,8968 8,8968 8,8968 879114 SEB Investment Management SEB Världenfond SEK 2005-09-30 1 1 8,9276 8,9276 8,9276 8,9276 879114 SEB Investment Management SEB Världenfond SEK 2005-10-03 1 1 8,9758 8,9758 8,9758 8,9758 879114 SEB Investment Management SEB Världenfond SEK 2005-10-04 1 1 8,9644 8,9644 8,9644 8,9644 879114 SEB Investment Management SEB Världenfond SEK 2005-10-05 1 1 8,9063 8,9063 8,9063 8,9063 879114 SEB Investment Management SEB Världenfond SEK 2005-10-06 1 1 8,7817 8,7817 8,7817 8,7817 879114 SEB Investment Management SEB Världenfond SEK 2005-10-07 1 1 8,7976 8,7976 8,7976 8,7976 879114 SEB Investment Management SEB Världenfond SEK 2005-10-10 1 1 8,8166 8,8166 8,8166 8,8166 879114 SEB Investment Management SEB Världenfond SEK 2005-10-11 1 1 8,8307 8,8307 8,8307 8,8307 879114 SEB Investment Management SEB Världenfond SEK 2005-10-12 1 1 8,7971 8,7971 8,7971 8,7971 879114 SEB Investment Management SEB Världenfond SEK 2005-10-13 1 1 8,7373 8,7373 8,7373 8,7373 879114 SEB Investment Management SEB Världenfond SEK 2005-10-14 1 1 8,7546 8,7546 8,7546 8,7546 879114 SEB Investment Management SEB Världenfond SEK 2005-10-17 1 1 8,7711 8,7711 8,7711 8,7711 879114 SEB Investment Management SEB Världenfond SEK 2005-10-18 1 1 8,7585 8,7585 8,7585 8,7585 879114 SEB Investment Management SEB Världenfond SEK 2005-10-19 1 1 8,6788 8,6788 8,6788 8,6788 879114 SEB Investment Management SEB Världenfond SEK 2005-10-20 1 1 8,7347 8,7347 8,7347 8,7347 879114 SEB Investment Management SEB Världenfond SEK 2005-10-21 1 1 8,6783 8,6783 8,6783 8,6783 879114 SEB Investment Management SEB Världenfond SEK 2005-10-24 1 1 8,7711 8,7711 8,7711 8,7711 879114 SEB Investment Management SEB Världenfond SEK 2005-10-25 1 1 8,7722 8,7722 8,7722 8,7722 879114 SEB Investment Management SEB Världenfond SEK 2005-10-26 1 1 8,7879 8,7879 8,7879 8,7879 879114 SEB Investment Management SEB Världenfond SEK 2005-10-27 1 1 8,7342 8,7342 8,7342 8,7342 879114 SEB Investment Management SEB Världenfond SEK 2005-10-28 1 1 8,7033 8,7033 8,7033 8,7033 879114 SEB Investment Management SEB Världenfond SEK 2005-10-31 1 1 8,8567 8,8567 8,8567 8,8567 879114 SEB Investment Management SEB Världenfond SEK 2005-11-01 1 1 8,8942 8,8942 8,8942 8,8942 879114 SEB Investment Management SEB Världenfond SEK 2005-11-02 1 1 8,8986 8,8986 8,8986 8,8986 879114 SEB Investment Management SEB Världenfond SEK 2005-11-03 1 1 8,9987 8,9987 8,9987 8,9987 879114 SEB Investment Management SEB Världenfond SEK 2005-11-04 1 1 8,9986 8,9986 8,9986 8,9986 879114 SEB Investment Management SEB Världenfond SEK 2005-11-07 1 1 9,0553 9,0553 9,0553 9,0553 879114 SEB Investment Management SEB Världenfond SEK 2005-11-08 1 1 9,0304 9,0304 9,0304 9,0304 879114 SEB Investment Management SEB Världenfond SEK 2005-11-09 1 1 9,0474 9,0474 9,0474 9,0474 879114 SEB Investment Management SEB Världenfond SEK 2005-11-10 1 1 9,077 9,077 9,077 9,077 879114 SEB Investment Management SEB Världenfond SEK 2005-11-11 1 1 9,1229 9,1229 9,1229 9,1229 879114 SEB Investment Management SEB Världenfond SEK 2005-11-14 1 1 9,1375 9,1375 9,1375 9,1375 879114 SEB Investment Management SEB Världenfond SEK 2005-11-15 1 1 9,1361 9,1361 9,1361 9,1361 879114 SEB Investment Management SEB Världenfond SEK 2005-11-16 1 1 9,1404 9,1404 9,1404 9,1404 879114 SEB Investment Management SEB Världenfond SEK 2005-11-17 1 1 9,178 9,178 9,178 9,178 879114 SEB Investment Management SEB Världenfond SEK 2005-11-18 1 1 9,1898 9,1898 9,1898 9,1898 879114 SEB Investment Management SEB Världenfond SEK 2005-11-21 1 1 9,1608 9,1608 9,1608 9,1608 879114 SEB Investment Management SEB Världenfond SEK 2005-11-22 1 1 9,1915 9,1915 9,1915 9,1915 879114 SEB Investment Management SEB Världenfond SEK 2005-11-23 1 1 9,183 9,183 9,183 9,183 879114 SEB Investment Management SEB Världenfond SEK 2005-11-24 1 1 9,1791 9,1791 9,1791 9,1791 879114 SEB Investment Management SEB Världenfond SEK 2005-11-25 1 1 9,1882 9,1882 9,1882 9,1882 879114 SEB Investment Management SEB Världenfond SEK 2005-11-28 1 1 9,198 9,198 9,198 9,198 879114 SEB Investment Management SEB Världenfond SEK 2005-11-29 1 1 9,1996 9,1996 9,1996 9,1996 879114 SEB Investment Management SEB Världenfond SEK 2005-11-30 1 1 9,1665 9,1665 9,1665 9,1665 879114 SEB Investment Management SEB Världenfond SEK 2005-12-01 1 1 9,2246 9,2246 9,2246 9,2246 879114 SEB Investment Management SEB Världenfond SEK 2005-12-02 1 1 9,1197 9,1197 9,1197 9,1197 879114 SEB Investment Management SEB Världenfond SEK 2005-12-05 1 1 9,0993 9,0993 9,0993 9,0993 879114 SEB Investment Management SEB Världenfond SEK 2005-12-06 1 1 9,0927 9,0927 9,0927 9,0927 879114 SEB Investment Management SEB Världenfond SEK 2005-12-07 1 1 9,1219 9,1219 9,1219 9,1219 879114 SEB Investment Management SEB Världenfond SEK 2005-12-08 1 1 9,1091 9,1091 9,1091 9,1091 879114 SEB Investment Management SEB Världenfond SEK 2005-12-12 1 1 9,1106 9,1106 9,1106 9,1106 879114 SEB Investment Management SEB Världenfond SEK 2005-12-13 1 1 9,1108 9,1108 9,1108 9,1108 879114 SEB Investment Management SEB Världenfond SEK 2005-12-14 1 1 9,1028 9,1028 9,1028 9,1028 879114 SEB Investment Management SEB Världenfond SEK 2005-12-15 1 1 9,0892 9,0892 9,0892 9,0892 879114 SEB Investment Management SEB Världenfond SEK 2005-12-16 1 1 9,1253 9,1253 9,1253 9,1253 879114 SEB Investment Management SEB Världenfond SEK 2005-12-19 1 1 9,1197 9,1197 9,1197 9,1197 879114 SEB Investment Management SEB Världenfond SEK 2005-12-20 1 1 9,1176 9,1176 9,1176 9,1176 879114 SEB Investment Management SEB Världenfond SEK 2005-12-21 1 1 9,1771 9,1771 9,1771 9,1771 879114 SEB Investment Management SEB Världenfond SEK 2005-12-22 1 1 9,1964 9,1964 9,1964 9,1964 879114 SEB Investment Management SEB Världenfond SEK 2005-12-23 1 1 9,2369 9,2369 9,2369 9,2369 879114 SEB Investment Management SEB Världenfond SEK 2005-12-27 1 1 9,2689 9,2689 9,2689 9,2689 879114 SEB Investment Management SEB Världenfond SEK 2005-12-28 1 1 9,211 9,211 9,211 9,211 879114 SEB Investment Management SEB Världenfond SEK 2005-12-29 1 1 9,2401 9,2401 9,2401 9,2401 879114 SEB Investment Management SEB Världenfond SEK 2005-12-30 1 1 9,2042 9,2042 9,2042 9,2042 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-11 1 1 17,1183 17,1183 17,1183 17,1183 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-14 1 1 17,141 17,141 17,141 17,141 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-15 1 1 17,2685 17,2685 17,2685 17,2685 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-16 1 1 17,5825 17,5825 17,5825 17,5825 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-17 1 1 17,7706 17,7706 17,7706 17,7706 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-18 1 1 17,7181 17,7181 17,7181 17,7181 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-21 1 1 18,0075 18,0075 18,0075 18,0075 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-22 1 1 17,8386 17,8386 17,8386 17,8386 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-23 1 1 17,7945 17,7945 17,7945 17,7945 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-24 1 1 17,9113 17,9113 17,9113 17,9113 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-25 1 1 18,3771 18,3771 18,3771 18,3771 449090 SEB Investment Management SEB Östeuropafond SEK 2005-02-28 1 1 18,4321 18,4321 18,4321 18,4321 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-01 1 1 18,5788 18,5788 18,5788 18,5788 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-02 1 1 18,3582 18,3582 18,3582 18,3582 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-03 1 1 18,1991 18,1991 18,1991 18,1991 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-04 1 1 18,1616 18,1616 18,1616 18,1616 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-07 1 1 18,4885 18,4885 18,4885 18,4885 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-08 1 1 18,4846 18,4846 18,4846 18,4846 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-09 1 1 18,2447 18,2447 18,2447 18,2447 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-10 1 1 18,2103 18,2103 18,2103 18,2103 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-11 1 1 17,968 17,968 17,968 17,968 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-14 1 1 17,8208 17,8208 17,8208 17,8208 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-15 1 1 17,8769 17,8769 17,8769 17,8769 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-16 1 1 16,9449 16,9449 16,9449 16,9449 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-17 1 1 16,8272 16,8272 16,8272 16,8272 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-18 1 1 17,1379 17,1379 17,1379 17,1379 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-21 1 1 16,8848 16,8848 16,8848 16,8848 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-22 1 1 17,0958 17,0958 17,0958 17,0958 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-23 1 1 16,8744 16,8744 16,8744 16,8744 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-24 1 1 17,1005 17,1005 17,1005 17,1005 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-29 1 1 17,1801 17,1801 17,1801 17,1801 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-30 1 1 17,0868 17,0868 17,0868 17,0868 449090 SEB Investment Management SEB Östeuropafond SEK 2005-03-31 1 1 17,2957 17,2957 17,2957 17,2957 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-01 1 1 17,5058 17,5058 17,5058 17,5058 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-04 1 1 17,581 17,581 17,581 17,581 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-05 1 1 17,6874 17,6874 17,6874 17,6874 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-06 1 1 17,8854 17,8854 17,8854 17,8854 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-07 1 1 17,8704 17,8704 17,8704 17,8704 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-08 1 1 18,005 18,005 18,005 18,005 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-11 1 1 17,7023 17,7023 17,7023 17,7023 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-12 1 1 17,8234 17,8234 17,8234 17,8234 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-13 1 1 17,9518 17,9518 17,9518 17,9518 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-14 1 1 17,7966 17,7966 17,7966 17,7966 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-15 1 1 17,5104 17,5104 17,5104 17,5104 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-18 1 1 17,0766 17,0766 17,0766 17,0766 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-19 1 1 17,0927 17,0927 17,0927 17,0927 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-20 1 1 16,9885 16,9885 16,9885 16,9885 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-21 1 1 17,0207 17,0207 17,0207 17,0207 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-22 1 1 17,0795 17,0795 17,0795 17,0795 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-25 1 1 17,1179 17,1179 17,1179 17,1179 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-26 1 1 17,0809 17,0809 17,0809 17,0809 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-27 1 1 16,784 16,784 16,784 16,784 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-28 1 1 16,5663 16,5663 16,5663 16,5663 449090 SEB Investment Management SEB Östeuropafond SEK 2005-04-29 1 1 16,5495 16,5495 16,5495 16,5495 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-02 1 1 16,7082 16,7082 16,7082 16,7082 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-03 1 1 16,6953 16,6953 16,6953 16,6953 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-04 1 1 16,6392 16,6392 16,6392 16,6392 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-06 1 1 16,7788 16,7788 16,7788 16,7788 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-09 1 1 16,8577 16,8577 16,8577 16,8577 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-10 1 1 16,6255 16,6255 16,6255 16,6255 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-11 1 1 16,5136 16,5136 16,5136 16,5136 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-12 1 1 16,5234 16,5234 16,5234 16,5234 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-13 1 1 16,3405 16,3405 16,3405 16,3405 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-16 1 1 16,1855 16,1855 16,1855 16,1855 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-17 1 1 16,1399 16,1399 16,1399 16,1399 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-18 1 1 16,6197 16,6197 16,6197 16,6197 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-19 1 1 16,8055 16,8055 16,8055 16,8055 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-20 1 1 16,9158 16,9158 16,9158 16,9158 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-23 1 1 16,7875 16,7875 16,7875 16,7875 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-24 1 1 16,9482 16,9482 16,9482 16,9482 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-25 1 1 16,8722 16,8722 16,8722 16,8722 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-26 1 1 16,9635 16,9635 16,9635 16,9635 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-27 1 1 17,1235 17,1235 17,1235 17,1235 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-30 1 1 17,1567 17,1567 17,1567 17,1567 449090 SEB Investment Management SEB Östeuropafond SEK 2005-05-31 1 1 17,3665 17,3665 17,3665 17,3665 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-01 1 1 17,3351 17,3351 17,3351 17,3351 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-02 1 1 17,5525 17,5525 17,5525 17,5525 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-03 1 1 17,5964 17,5964 17,5964 17,5964 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-07 1 1 17,8258 17,8258 17,8258 17,8258 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-08 1 1 17,8232 17,8232 17,8232 17,8232 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-09 1 1 17,9184 17,9184 17,9184 17,9184 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-10 1 1 18,2296 18,2296 18,2296 18,2296 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-13 1 1 18,5177 18,5177 18,5177 18,5177 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-14 1 1 18,5817 18,5817 18,5817 18,5817 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-15 1 1 18,5377 18,5377 18,5377 18,5377 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-16 1 1 18,6192 18,6192 18,6192 18,6192 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-17 1 1 18,4873 18,4873 18,4873 18,4873 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-20 1 1 18,6566 18,6566 18,6566 18,6566 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-21 1 1 18,7828 18,7828 18,7828 18,7828 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-22 1 1 19,0831 19,0831 19,0831 19,0831 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-23 1 1 19,4023 19,4023 19,4023 19,4023 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-27 1 1 19,0557 19,0557 19,0557 19,0557 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-28 1 1 19,1898 19,1898 19,1898 19,1898 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-29 1 1 19,3095 19,3095 19,3095 19,3095 449090 SEB Investment Management SEB Östeuropafond SEK 2005-06-30 1 1 19,5118 19,5118 19,5118 19,5118 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-01 1 1 19,7883 19,7883 19,7883 19,7883 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-04 1 1 20,0539 20,0539 20,0539 20,0539 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-05 1 1 19,939 19,939 19,939 19,939 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-06 1 1 20,0925 20,0925 20,0925 20,0925 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-07 1 1 19,9378 19,9378 19,9378 19,9378 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-08 1 1 20,2141 20,2141 20,2141 20,2141 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-11 1 1 20,3029 20,3029 20,3029 20,3029 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-12 1 1 20,1162 20,1162 20,1162 20,1162 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-13 1 1 20,2404 20,2404 20,2404 20,2404 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-14 1 1 20,2718 20,2718 20,2718 20,2718 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-15 1 1 20,2257 20,2257 20,2257 20,2257 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-18 1 1 20,0756 20,0756 20,0756 20,0756 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-19 1 1 20,2576 20,2576 20,2576 20,2576 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-20 1 1 20,4827 20,4827 20,4827 20,4827 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-21 1 1 20,4741 20,4741 20,4741 20,4741 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-22 1 1 20,5297 20,5297 20,5297 20,5297 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-25 1 1 20,708 20,708 20,708 20,708 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-26 1 1 20,7757 20,7757 20,7757 20,7757 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-27 1 1 20,9301 20,9301 20,9301 20,9301 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-28 1 1 20,9546 20,9546 20,9546 20,9546 449090 SEB Investment Management SEB Östeuropafond SEK 2005-07-29 1 1 21,1146 21,1146 21,1146 21,1146 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-01 1 1 21,167 21,167 21,167 21,167 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-02 1 1 21,3897 21,3897 21,3897 21,3897 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-03 1 1 21,2183 21,2183 21,2183 21,2183 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-04 1 1 21,0574 21,0574 21,0574 21,0574 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-05 1 1 21,2212 21,2212 21,2212 21,2212 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-08 1 1 21,4812 21,4812 21,4812 21,4812 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-09 1 1 21,6118 21,6118 21,6118 21,6118 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-10 1 1 21,6015 21,6015 21,6015 21,6015 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-11 1 1 21,2759 21,2759 21,2759 21,2759 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-12 1 1 21,0311 21,0311 21,0311 21,0311 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-15 1 1 21,1883 21,1883 21,1883 21,1883 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-16 1 1 21,6232 21,6232 21,6232 21,6232 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-17 1 1 21,7197 21,7197 21,7197 21,7197 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-18 1 1 21,6943 21,6943 21,6943 21,6943 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-19 1 1 21,8026 21,8026 21,8026 21,8026 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-22 1 1 21,9732 21,9732 21,9732 21,9732 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-23 1 1 21,9675 21,9675 21,9675 21,9675 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-24 1 1 22,0227 22,0227 22,0227 22,0227 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-25 1 1 22,0316 22,0316 22,0316 22,0316 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-26 1 1 22,0555 22,0555 22,0555 22,0555 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-29 1 1 22,1183 22,1183 22,1183 22,1183 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-30 1 1 22,5285 22,5285 22,5285 22,5285 449090 SEB Investment Management SEB Östeuropafond SEK 2005-08-31 1 1 22,5852 22,5852 22,5852 22,5852 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-01 1 1 22,8626 22,8626 22,8626 22,8626 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-02 1 1 22,9875 22,9875 22,9875 22,9875 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-05 1 1 23,0628 23,0628 23,0628 23,0628 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-06 1 1 22,9253 22,9253 22,9253 22,9253 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-07 1 1 22,7653 22,7653 22,7653 22,7653 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-08 1 1 22,8726 22,8726 22,8726 22,8726 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-09 1 1 23,3969 23,3969 23,3969 23,3969 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-12 1 1 23,5934 23,5934 23,5934 23,5934 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-13 1 1 23,7197 23,7197 23,7197 23,7197 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-14 1 1 23,3719 23,3719 23,3719 23,3719 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-15 1 1 24,0119 24,0119 24,0119 24,0119 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-16 1 1 24,5579 24,5579 24,5579 24,5579 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-19 1 1 24,9342 24,9342 24,9342 24,9342 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-20 1 1 24,9212 24,9212 24,9212 24,9212 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-21 1 1 24,9274 24,9274 24,9274 24,9274 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-22 1 1 25,3144 25,3144 25,3144 25,3144 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-23 1 1 25,2502 25,2502 25,2502 25,2502 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-26 1 1 25,2903 25,2903 25,2903 25,2903 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-27 1 1 25,8958 25,8958 25,8958 25,8958 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-28 1 1 25,861 25,861 25,861 25,861 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-29 1 1 25,9523 25,9523 25,9523 25,9523 449090 SEB Investment Management SEB Östeuropafond SEK 2005-09-30 1 1 25,9176 25,9176 25,9176 25,9176 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-03 1 1 26,3119 26,3119 26,3119 26,3119 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-04 1 1 26,605 26,605 26,605 26,605 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-05 1 1 26,2645 26,2645 26,2645 26,2645 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-06 1 1 24,6584 24,6584 24,6584 24,6584 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-07 1 1 24,6404 24,6404 24,6404 24,6404 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-10 1 1 24,9516 24,9516 24,9516 24,9516 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-11 1 1 25,4005 25,4005 25,4005 25,4005 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-12 1 1 25,0597 25,0597 25,0597 25,0597 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-13 1 1 24,2195 24,2195 24,2195 24,2195 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-14 1 1 23,7777 23,7777 23,7777 23,7777 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-17 1 1 24,2043 24,2043 24,2043 24,2043 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-18 1 1 24,0693 24,0693 24,0693 24,0693 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-19 1 1 23,0813 23,0813 23,0813 23,0813 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-20 1 1 23,3177 23,3177 23,3177 23,3177 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-21 1 1 23,1315 23,1315 23,1315 23,1315 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-24 1 1 23,6933 23,6933 23,6933 23,6933 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-25 1 1 23,5948 23,5948 23,5948 23,5948 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-26 1 1 23,63 23,63 23,63 23,63 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-27 1 1 23,399 23,399 23,399 23,399 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-28 1 1 23,4752 23,4752 23,4752 23,4752 449090 SEB Investment Management SEB Östeuropafond SEK 2005-10-31 1 1 24,1002 24,1002 24,1002 24,1002 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-01 1 1 24,3994 24,3994 24,3994 24,3994 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-02 1 1 24,801 24,801 24,801 24,801 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-03 1 1 25,3351 25,3351 25,3351 25,3351 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-04 1 1 25,5627 25,5627 25,5627 25,5627 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-07 1 1 25,5058 25,5058 25,5058 25,5058 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-08 1 1 25,3285 25,3285 25,3285 25,3285 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-09 1 1 25,5435 25,5435 25,5435 25,5435 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-10 1 1 25,3872 25,3872 25,3872 25,3872 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-11 1 1 25,0565 25,0565 25,0565 25,0565 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-14 1 1 25,2656 25,2656 25,2656 25,2656 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-15 1 1 25,4405 25,4405 25,4405 25,4405 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-16 1 1 25,4087 25,4087 25,4087 25,4087 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-17 1 1 25,8697 25,8697 25,8697 25,8697 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-18 1 1 25,7073 25,7073 25,7073 25,7073 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-21 1 1 25,6203 25,6203 25,6203 25,6203 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-22 1 1 25,6529 25,6529 25,6529 25,6529 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-23 1 1 25,5153 25,5153 25,5153 25,5153 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-24 1 1 25,6677 25,6677 25,6677 25,6677 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-25 1 1 25,7435 25,7435 25,7435 25,7435 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-28 1 1 26,15 26,15 26,15 26,15 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-29 1 1 25,8375 25,8375 25,8375 25,8375 449090 SEB Investment Management SEB Östeuropafond SEK 2005-11-30 1 1 25,8617 25,8617 25,8617 25,8617 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-01 1 1 25,9823 25,9823 25,9823 25,9823 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-02 1 1 26,1325 26,1325 26,1325 26,1325 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-05 1 1 26,0824 26,0824 26,0824 26,0824 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-06 1 1 25,6536 25,6536 25,6536 25,6536 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-07 1 1 25,9813 25,9813 25,9813 25,9813 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-08 1 1 25,9146 25,9146 25,9146 25,9146 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-12 1 1 25,956 25,956 25,956 25,956 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-13 1 1 25,9754 25,9754 25,9754 25,9754 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-14 1 1 25,9163 25,9163 25,9163 25,9163 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-15 1 1 25,9483 25,9483 25,9483 25,9483 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-16 1 1 26,0526 26,0526 26,0526 26,0526 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-19 1 1 26,0721 26,0721 26,0721 26,0721 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-20 1 1 26,1303 26,1303 26,1303 26,1303 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-21 1 1 26,3498 26,3498 26,3498 26,3498 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-22 1 1 26,4925 26,4925 26,4925 26,4925 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-23 1 1 26,4808 26,4808 26,4808 26,4808 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-27 1 1 26,6011 26,6011 26,6011 26,6011 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-28 1 1 26,2006 26,2006 26,2006 26,2006 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-29 1 1 26,3609 26,3609 26,3609 26,3609 449090 SEB Investment Management SEB Östeuropafond SEK 2005-12-30 1 1 26,3283 26,3283 26,3283 26,3283 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-03 9,0065 9,0015 1420,39 1420,39 12792,742535 12785,640585 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-04 9,0345 9,0295 1434,88 1434,88 12963,42336 12956,24896 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-05 9,0615 9,0565 1444,96 1444,96 13093,50504 13086,28024 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-07 9,0615 9,0565 1450,88 1450,88 13147,14912 13139,89472 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-10 9,08619 9,08119 1462,34 1462,34 13287,0990846 13279,7873846 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-11 9,08619 9,08119 1460,92 1460,92 13274,1966948 13266,8920948 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-12 9,0455 9,0405 1450,18 1450,18 13117,60319 13110,35229 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-13 9,0505 9,0455 1444,47 1444,47 13073,175735 13065,953385 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-14 9,0455 9,0405 1449,52 1449,52 13111,63316 13104,38556 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-17 9,0685 9,0635 1455,77 1455,77 13201,650245 13194,371395 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-18 9,0585 9,0535 1460,97 1460,97 13234,196745 13226,891895 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-19 9,0225 9,0175 1463,29 1463,29 13202,534025 13195,217575 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-20 9,0315 9,0265 1465,39 1465,39 13234,669785 13227,342835 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-21 9,0505 9,0455 1459,71 1459,71 13211,105355 13203,806805 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-24 9,0655 9,0605 1456,6 1456,6 13204,8073 13197,5243 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-25 9,0715 9,0665 1456,9 1456,9 13216,26835 13208,98385 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-26 9,0885 9,0835 1467,95 1467,95 13341,463575 13334,123825 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-27 9,0675 9,0625 1471,68 1471,68 13344,4584 13337,1 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-28 9,0955 9,0905 1474,9 1474,9 13414,95295 13407,57845 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-01-31 9,1075 9,1025 1472,25 1472,25 13408,516875 13401,155625 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-01 9,1035 9,0985 1482,77 1482,77 13498,396695 13490,982845 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-02 9,0905 9,0855 1493,97 1493,97 13580,934285 13573,464435 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-03 9,0695 9,0645 1498,91 1498,91 13594,364245 13586,869695 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-04 9,0895 9,0845 1494,12 1494,12 13580,80374 13573,33314 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-07 9,0755 9,0705 1503,99 1503,99 13649,461245 13641,941295 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-08 9,0895 9,0845 1511,55 1511,55 13739,233725 13731,675975 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-09 9,0695 9,0645 1514,39 1514,39 13734,760105 13727,188155 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-10 9,0805 9,0755 1510,28 1510,28 13714,09754 13706,54614 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-11 9,0935 9,0885 1506,36 1506,36 13698,08466 13690,55286 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-14 9,1105 9,1055 1518,14 1518,14 13831,01447 13823,42377 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-15 9,0765 9,0715 1517,24 1517,24 13771,22886 13763,64266 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-16 9,0705 9,0655 1525,85 1525,85 13840,222425 13832,593175 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-17 9,0925 9,0875 1517,83 1517,83 13800,869275 13793,280125 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-18 9,0945 9,0895 1524,24 1524,24 13862,20068 13854,57948 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-21 9,1185 9,1135 1523,57 1523,57 13892,673045 13885,055195 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-22 9,0975 9,0925 1525,32 1525,32 13876,5987 13868,9721 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-23 9,1045 9,0995 1511,93 1511,93 13765,366685 13757,807035 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-24 9,0715 9,0665 1506,73 1506,73 13668,301195 13660,767545 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-25 9,0845 9,0795 1505,38 1505,38 13675,62461 13668,09771 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-02-28 9,0505 9,0455 1519,85 1519,85 13755,402425 13747,803175 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-01 9,0565 9,0515 1519,31 1519,31 13759,631015 13752,034465 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-02 9,0645 9,0595 1526,38 1526,38 13835,87151 13828,23961 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-03 9,0675 9,0625 1522,73 1522,73 13807,354275 13799,740625 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-04 9,0415 9,0365 1523,36 1523,36 13773,45944 13765,84264 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-07 9,0425 9,0375 1526,92 1526,92 13807,1741 13799,5395 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-08 9,0345 9,0295 1529,64 1529,64 13819,53258 13811,88438 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-09 9,0365 9,0315 1520,71 1520,71 13741,895915 13734,292365 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-10 9,0655 9,0605 1517,73 1517,73 13758,981315 13751,392665 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-11 9,0795 9,0745 1505,54 1505,54 13669,55043 13662,02273 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-14 9,0695 9,0645 1508,43 1508,43 13680,705885 13673,163735 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-15 9,1035 9,0985 1505,79 1505,79 13707,959265 13700,430315 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-16 9,0975 9,0925 1509,01 1509,01 13728,218475 13720,673425 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-17 9,1045 9,0995 1488,04 1488,04 13547,86018 13540,41998 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-18 9,1035 9,0985 1485,23 1485,23 13520,791305 13513,365155 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-21 9,1265 9,1215 1485,29 1485,29 13555,499185 13548,072735 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-22 9,1265 9,1215 1477,55 1477,55 13484,860075 13477,472325 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-23 9,1165 9,1115 1482,29 1482,29 13513,296785 13505,885335 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-24 9,1135 9,1085 1479 1479 13478,8665 13471,4715 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-29 9,1315 9,1265 1492,84 1492,84 13631,86846 13624,40426 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-30 9,1425 9,1375 1491,86 1491,86 13639,33005 13631,87075 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-03-31 9,1405 9,1355 1488,88 1488,88 13609,10764 13601,66324 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-01 9,1645 9,1595 1493,35 1493,35 13685,806075 13678,339325 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-04 9,1695 9,1645 1502,48 1502,48 13776,99036 13769,47796 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-05 9,1745 9,1695 1490,52 1490,52 13674,77574 13667,32314 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-06 9,1705 9,1655 1500,95 1500,95 13764,461975 13756,957225 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-07 9,1505 9,1455 1510,4 1510,4 13820,9152 13813,3632 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-08 9,1625 9,1575 1509,1 1509,1 13827,12875 13819,58325 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-11 9,1705 9,1655 1513,42 1513,42 13878,81811 13871,25101 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-12 9,1525 9,1475 1509,3 1509,3 13813,86825 13806,32175 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-13 9,1495 9,1445 1504,95 1504,95 13769,540025 13762,015275 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-14 9,1685 9,1635 1514,45 1514,45 13885,234825 13877,662575 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-15 9,1925 9,1875 1508,37 1508,37 13865,691225 13858,149375 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-18 9,1805 9,1755 1483,72 1483,72 13621,29146 13613,87286 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-19 9,2035 9,1985 1454,18 1454,18 13383,54563 13376,27473 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-20 9,1915 9,1865 1460,57 1460,57 13424,829155 13417,526305 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-21 9,1855 9,1805 1451,71 1451,71 13334,682205 13327,423655 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-22 9,1625 9,1575 1449,4 1449,4 13280,1275 13272,8805 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-25 9,1685 9,1635 1458,74 1458,74 13374,45769 13367,16399 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-26 9,1375 9,1325 1460,11 1460,11 13341,755125 13334,454575 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-27 9,1465 9,1415 1453,68 1453,68 13296,08412 13288,81572 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-28 9,1505 9,1455 1433,16 1433,16 13114,13058 13106,96478 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-04-29 9,1705 9,1655 1426,85 1426,85 13084,927925 13077,793675 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-02 9,1935 9,1885 1432,62 1432,62 13170,79197 13163,62887 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-03 9,2245 9,2195 1439,26 1439,26 13276,45387 13269,25757 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-04 9,1915 9,1865 1443,92 1443,92 13271,79068 13264,57108 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-06 9,1715 9,1665 1454,85 1454,85 13343,156775 13335,882525 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-09 9,1815 9,1765 1458,36 1458,36 13389,93234 13382,64054 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-10 9,1985 9,1935 1454,31 1454,31 13377,470535 13370,198985 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-11 9,2105 9,2055 1438,02 1438,02 13244,88321 13237,69311 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-12 9,2315 9,2265 1431,46 1431,46 13214,52299 13207,36569 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-13 9,2045 9,1995 1438,94 1438,94 13244,72323 13237,52853 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-17 9,2325 9,2275 1445,06 1445,06 13341,51645 13334,29115 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-18 9,2095 9,2045 1447,57 1447,57 13331,395915 13324,158065 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-19 9,1905 9,1855 1470,81 1470,81 13517,479305 13510,125255 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-20 9,1955 9,1905 1482,99 1482,99 13636,834545 13629,419595 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-23 9,1805 9,1755 1482,32 1482,32 13608,43876 13601,02716 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-24 9,1815 9,1765 1487,81 1487,81 13660,327515 13652,888465 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-25 9,1785 9,1735 1485,36 1485,36 13633,37676 13625,94996 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-26 9,1945 9,1895 1481,95 1481,95 13625,789275 13618,379525 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-27 9,1955 9,1905 1493,28 1493,28 13731,45624 13723,98984 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-30 9,1905 9,1855 1493,65 1493,65 13727,390325 13719,922075 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-05-31 9,1665 9,1615 1501,55 1501,55 13763,958075 13756,450325 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-01 9,1455 9,1405 1495,48 1495,48 13676,91234 13669,43494 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-02 9,1565 9,1515 1515,21 1515,21 13874,020365 13866,444315 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-03 9,1315 9,1265 1513,08 1513,08 13816,69002 13809,12462 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-07 9,1455 9,1405 1501,48 1501,48 13731,78534 13724,27794 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-08 9,1455 9,1405 1517,54 1517,54 13878,66207 13871,07437 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-09 9,1965 9,1915 1515,17 1515,17 13934,260905 13926,685055 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-10 9,1975 9,1925 1514,07 1514,07 13925,658825 13918,088475 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-13 9,2365 9,2315 1524,65 1524,65 14082,429725 14074,806475 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-14 9,2985 9,2935 1530,62 1530,62 14232,47007 14224,81697 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-15 9,2695 9,2645 1537,32 1537,32 14250,18774 14242,50114 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-16 9,2695 9,2645 1533,49 1533,49 14214,685555 14207,018105 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-17 9,2695 9,2645 1544,71 1544,71 14318,689345 14310,965795 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-20 9,2255 9,2205 1540,43 1540,43 14211,236965 14203,534815 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-21 9,2725 9,2675 1535,85 1535,85 14241,169125 14233,489875 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-22 9,2615 9,2565 1544,46 1544,46 14304,01629 14296,29399 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-27 9,3855 9,3805 1532,16 1532,16 14380,08768 14372,42688 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-28 9,3995 9,3945 1517,86 1517,86 14267,12507 14259,53577 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-29 9,4215 9,4165 1527,63 1527,63 14392,566045 14384,927895 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-06-30 9,4415 9,4365 1542,83 1542,83 14566,629445 14558,915295 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-01 9,4595 9,4545 1541,88 1541,88 14585,41386 14577,70446 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-04 9,4795 9,4745 1555,06 1555,06 14741,19127 14733,41597 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-05 9,4575 9,4525 1556,15 1556,15 14717,288625 14709,507875 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-06 9,4195 9,4145 1551,33 1551,33 14612,752935 14604,996285 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-07 9,3965 9,3915 1560,22 1560,22 14660,60723 14652,80613 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-08 9,4175 9,4125 1529,49 1529,49 14403,972075 14396,324625 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-11 9,4665 9,4615 1553,07 1553,07 14702,137155 14694,371805 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-12 9,4645 9,4595 1569,04 1569,04 14850,17908 14842,33388 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-13 9,3915 9,3865 1569,89 1569,89 14743,621935 14735,772485 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-14 9,3675 9,3625 1577,82 1577,82 14780,22885 14772,33975 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-15 9,4055 9,4005 1587,15 1587,15 14927,939325 14920,003575 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-18 9,3895 9,3845 1587,77 1587,77 14908,366415 14900,427565 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-19 9,4425 9,4375 1582,82 1582,82 14945,77785 14937,86375 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-20 9,4265 9,4215 1597,1 1597,1 15055,06315 15047,07765 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-21 9,4625 9,4575 1593,66 1593,66 15080,00775 15072,03945 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-22 9,4495 9,4445 1594,49 1594,49 15067,133255 15059,160805 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-25 9,4275 9,4225 1595,27 1595,27 15039,407925 15031,431575 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-26 9,4155 9,4105 1595,64 1595,64 15023,74842 15015,77022 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-27 9,4725 9,4675 1596,96 1596,96 15127,2036 15119,2188 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-28 9,4515 9,4465 1603,73 1603,73 15157,654095 15149,635445 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-07-29 9,3885 9,3835 1621,58 1621,58 15224,20383 15216,09593 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-01 9,3985 9,3935 1620,17 1620,17 15227,167745 15219,066895 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-02 9,3995 9,3945 1618,74 1618,74 15215,34663 15207,25293 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-03 9,3755 9,3705 1630,86 1630,86 15290,12793 15281,97363 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-04 9,3735 9,3685 1628,11 1628,11 15261,089085 15252,948535 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-05 9,3355 9,3305 1618,79 1618,79 15112,214045 15104,120095 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-08 9,3335 9,3285 1609,76 1609,76 15024,69496 15016,64616 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-09 9,3455 9,3405 1615,1 1615,1 15093,91705 15085,84155 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-10 9,3535 9,3485 1623,36 1623,36 15184,09776 15175,98096 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-11 9,3365 9,3315 1640,23 1640,23 15314,007395 15305,806245 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-12 9,3025 9,2975 1635,27 1635,27 15212,099175 15203,922825 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-16 9,2995 9,2945 1630,19 1630,19 15159,951905 15151,800955 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-17 9,3405 9,3355 1630,84 1630,84 15232,86102 15224,70682 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-18 9,3365 9,3315 1628,78 1628,78 15207,10447 15198,96057 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-19 9,3395 9,3345 1623,87 1623,87 15166,133865 15158,014515 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-22 9,3655 9,3605 1636,48 1636,48 15326,45344 15318,27104 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-23 9,3715 9,3665 1639,54 1639,54 15364,94911 15356,75141 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-24 9,3365 9,3315 1629,9 1629,9 15217,56135 15209,41185 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-25 9,3335 9,3285 1618,55 1618,55 15106,736425 15098,643675 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-26 9,3415 9,3365 1605,23 1605,23 14995,256045 14987,229895 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-29 9,3295 9,3245 1600,66 1600,66 14933,35747 14925,35417 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-30 9,3285 9,3235 1604,47 1604,47 14967,298395 14959,276045 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-08-31 9,3585 9,3535 1599,15 1599,15 14965,645275 14957,649525 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-01 9,3365 9,3315 1607,22 1607,22 15005,80953 14997,77343 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-02 9,3025 9,2975 1613,69 1613,69 15011,351225 15003,282775 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-05 9,2845 9,2795 1610,02 1610,02 14948,23069 14940,18059 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-06 9,3225 9,3175 1618,64 1618,64 15089,7714 15081,6782 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-07 9,3075 9,3025 1629,19 1629,19 15163,685925 15155,539975 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-08 9,3255 9,3205 1630,2 1630,2 15202,4301 15194,2791 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-09 9,3445 9,3395 1629,35 1629,35 15225,461075 15217,314325 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-12 9,3015 9,2965 1632,89 1632,89 15188,326335 15180,161885 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-13 9,3015 9,2965 1633,34 1633,34 15192,51201 15184,34531 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-14 9,3365 9,3315 1622,13 1622,13 15145,016745 15136,906095 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-15 9,3425 9,3375 1625,7 1625,7 15188,10225 15179,97375 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-16 9,3465 9,3415 1621,36 1621,36 15154,04124 15145,93444 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-19 9,3355 9,3305 1627,45 1627,45 15193,059475 15184,922225 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-20 9,3395 9,3345 1631,09 1631,09 15233,565055 15225,409605 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-21 9,3405 9,3355 1634,62 1634,62 15268,16811 15259,99501 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-22 9,3405 9,3355 1618,45 1618,45 15117,132225 15109,039975 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-23 9,3695 9,3645 1608,26 1608,26 15068,59207 15060,55077 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-26 9,3815 9,3765 1619,65 1619,65 15194,746475 15186,648225 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-27 9,3885 9,3835 1641,89 1641,89 15414,884265 15406,674815 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-28 9,3935 9,3885 1640,62 1640,62 15411,16397 15402,96087 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-29 9,3845 9,3795 1651,48 1651,48 15498,31406 15490,05666 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-09-30 9,3435 9,3385 1648,46 1648,46 15402,38601 15394,14371 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-03 9,3025 9,2975 1652,24 1652,24 15369,9626 15361,7014 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-04 9,3185 9,3135 1663,29 1663,29 15499,367865 15491,051415 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-05 9,3105 9,3055 1674,04 1674,04 15586,14942 15577,77922 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-06 9,3015 9,2965 1662,37 1662,37 15462,534555 15454,222705 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-07 9,3385 9,3335 1642,52 1642,52 15338,67302 15330,46042 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-10 9,3465 9,3415 1634,63 1634,63 15278,069295 15269,896145 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-11 9,3395 9,3345 1635,75 1635,75 15277,087125 15268,908375 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-12 9,3375 9,3325 1642,39 1642,39 15335,816625 15327,604675 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-13 9,3815 9,3765 1627,56 1627,56 15268,95414 15260,81634 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-14 9,4135 9,4085 1616,84 1616,84 15220,12334 15212,03914 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-17 9,4575 9,4525 1627,8 1627,8 15394,9185 15386,7795 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-18 9,4625 9,4575 1622,29 1622,29 15350,919125 15342,807675 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-19 9,4605 9,4555 1617,12 1617,12 15298,76376 15290,67816 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-20 9,4935 9,4885 1589,76 1589,76 15092,38656 15084,43776 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-21 9,4915 9,4865 1599,12 1599,12 15178,04748 15170,05188 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-24 9,5455 9,5405 1592,37 1592,37 15199,967835 15192,005985 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-25 9,5465 9,5415 1606,96 1606,96 15340,84364 15332,80884 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-26 9,4975 9,4925 1601,54 1601,54 15210,62615 15202,61845 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-27 9,5355 9,5305 1606,98 1606,98 15323,35779 15315,32289 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-28 9,5135 9,5085 1572,95 1572,95 14964,259825 14956,395075 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-10-31 9,5495 9,5445 1573,96 1573,96 15030,53102 15022,66122 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-02 9,5855 9,5805 1601,01 1601,01 15346,481355 15338,476305 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-03 9,6515 9,6465 1609,97 1609,97 15538,625455 15530,575605 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-04 9,5875 9,5825 1626,44 1626,44 15593,4935 15585,3613 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-07 9,6075 9,6025 1623,97 1623,97 15602,291775 15594,171925 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-08 9,5685 9,5635 1629,4 1629,4 15590,9139 15582,7669 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-09 9,5575 9,5525 1631,04 1631,04 15588,6648 15580,5096 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-10 9,6105 9,6055 1631,12 1631,12 15675,87876 15667,72316 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-11 9,6365 9,6315 1641,89 1641,89 15822,072985 15813,863535 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-14 9,5505 9,5455 1659,71 1659,71 15851,060355 15842,761805 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-15 9,5805 9,5755 1658,4 1658,4 15888,3012 15880,0092 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-16 9,6235 9,6185 1653,85 1653,85 15915,825475 15907,556225 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-17 9,6355 9,6305 1645,88 1645,88 15858,87674 15850,64734 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-18 9,6085 9,6035 1652,99 1652,99 15882,754415 15874,489465 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-21 9,5915 9,5865 1662,4 1662,4 15944,9096 15936,5976 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-22 9,5585 9,5535 1662,49 1662,49 15890,910665 15882,598215 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-23 9,5155 9,5105 1656,3 1656,3 15760,52265 15752,24115 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-24 9,5125 9,5075 1665,21 1665,21 15840,310125 15831,984075 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-25 9,4965 9,4915 1663,69 1663,69 15799,232085 15790,913635 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-28 9,4835 9,4785 1669,12 1669,12 15829,09952 15820,75392 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-29 9,4785 9,4735 1664,33 1664,33 15775,351905 15767,030255 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-11-30 9,5295 9,5245 1676,89 1676,89 15979,923255 15971,538805 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-01 9,5165 9,5115 1675,66 1675,66 15946,41839 15938,04009 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-02 9,4905 9,4855 1701,42 1701,42 16147,32651 16138,81941 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-05 9,4065 9,4015 1711,73 1711,73 16101,388245 16092,829595 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-06 9,4185 9,4135 1701,95 1701,95 16029,816075 16021,306325 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-07 9,4255 9,4205 1707,65 1707,65 16095,455075 16086,916825 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-08 9,3965 9,3915 1707,04 1707,04 16040,20136 16031,66616 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-12 9,4315 9,4265 1708,41 1708,41 16112,868915 16104,326865 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-13 9,4295 9,4245 1712,7 1712,7 16149,90465 16141,34115 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-14 9,4365 9,4315 1714,02 1714,02 16174,34973 16165,77963 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-15 9,4345 9,4295 1710,48 1710,48 16137,52356 16128,97116 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-16 9,4765 9,4715 1712,24 1712,24 16226,04236 16217,48116 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-19 9,4535 9,4485 1721,75 1721,75 16276,563625 16267,954875 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-20 9,4015 9,3965 1717,63 1717,63 16148,298445 16139,710295 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-21 9,4485 9,4435 1715,86 1715,86 16212,30321 16203,72391 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-22 9,4365 9,4315 1723,37 1723,37 16262,581005 16253,964155 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-23 9,4425 9,4375 1720,75 1720,75 16248,181875 16239,578125 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-27 9,4915 9,4865 1724,66 1724,66 16369,61039 16360,98709 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-28 9,4345 9,4295 1728,22 1728,22 16304,89159 16296,25049 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-29 9,4115 9,4065 1729,08 1729,08 16273,23642 16264,59102 791632 Banque de Luxembourg S.A. Selector European Value EUR 2005-12-30 9,4325 9,4275 1736,06 1736,06 16375,38595 16366,70565 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-03 9,0065 9,0015 1249,43 1249,43 11252,991295 11246,744145 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-04 9,0345 9,0295 1256,11 1256,11 11348,325795 11342,045245 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-05 9,0615 9,0565 1258 1258 11399,367 11393,077 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-07 9,0615 9,0565 1258,67 1258,67 11405,438205 11399,144855 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-10 9,08619 9,08119 1268,63 1268,63 11527,0132197 11520,6700697 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-11 9,08619 9,08119 1267,02 1267,02 11512,3844538 11506,0493538 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-12 9,0455 9,0405 1255,96 1255,96 11360,78618 11354,50638 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-13 9,0505 9,0455 1248,73 1248,73 11301,630865 11295,387215 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-14 9,0455 9,0405 1246,75 1246,75 11277,477125 11271,243375 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-17 9,0685 9,0635 1256,49 1256,49 11394,479565 11388,197115 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-18 9,0585 9,0535 1260,02 1260,02 11413,89117 11407,59107 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-19 9,0225 9,0175 1264,75 1264,75 11411,206875 11404,883125 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-20 9,0315 9,0265 1260,93 1260,93 11388,089295 11381,784645 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-21 9,0505 9,0455 1255,81 1255,81 11365,708405 11359,429355 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-24 9,0655 9,0605 1246,27 1246,27 11298,060685 11291,829335 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-25 9,0715 9,0665 1242,19 1242,19 11268,526585 11262,315635 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-26 9,0885 9,0835 1250,63 1250,63 11366,350755 11360,097605 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-27 9,0675 9,0625 1251,86 1251,86 11351,24055 11344,98125 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-28 9,0955 9,0905 1251,44 1251,44 11382,47252 11376,21532 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-01-31 9,1075 9,1025 1244,61 1244,61 11335,285575 11329,062525 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-01 9,1035 9,0985 1249,78 1249,78 11377,37223 11371,12333 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-02 9,0905 9,0855 1254,99 1254,99 11408,486595 11402,211645 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-03 9,0695 9,0645 1258,35 1258,35 11412,605325 11406,313575 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-04 9,0895 9,0845 1256,59 1256,59 11421,774805 11415,491855 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-07 9,0755 9,0705 1267 1267 11498,6585 11492,3235 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-08 9,0895 9,0845 1277,31 1277,31 11610,109245 11603,722695 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-09 9,0695 9,0645 1278,07 1278,07 11591,455865 11585,065515 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-10 9,0805 9,0755 1272,01 1272,01 11550,486805 11544,126755 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-11 9,0935 9,0885 1267,29 1267,29 11524,101615 11517,765165 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-14 9,1105 9,1055 1276,32 1276,32 11627,91336 11621,53176 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-15 9,0765 9,0715 1277,48 1277,48 11595,04722 11588,65982 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-16 9,0705 9,0655 1283,77 1283,77 11644,435785 11638,016935 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-17 9,0925 9,0875 1277,71 1277,71 11617,578175 11611,189625 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-18 9,0945 9,0895 1269,19 1269,19 11542,648455 11536,302505 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-21 9,1185 9,1135 1275,81 1275,81 11633,473485 11627,094435 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-22 9,0975 9,0925 1277,68 1277,68 11623,6938 11617,3054 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-23 9,1045 9,0995 1259,37 1259,37 11465,934165 11459,637315 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-24 9,0715 9,0665 1259,88 1259,88 11429,00142 11422,70202 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-25 9,0845 9,0795 1261,89 1261,89 11463,639705 11457,330255 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-02-28 9,0505 9,0455 1273,32 1273,32 11524,18266 11517,81606 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-01 9,0565 9,0515 1269,24 1269,24 11494,87206 11488,52586 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-02 9,0645 9,0595 1280,5 1280,5 11607,09225 11600,68975 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-03 9,0675 9,0625 1283,58 1283,58 11638,86165 11632,44375 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-04 9,0415 9,0365 1279,53 1279,53 11568,870495 11562,472845 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-07 9,0425 9,0375 1275,39 1275,39 11532,714075 11526,337125 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-08 9,0345 9,0295 1278,65 1278,65 11551,963425 11545,570175 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-09 9,0365 9,0315 1262,38 1262,38 11407,49687 11401,18497 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-10 9,0655 9,0605 1260,17 1260,17 11424,071135 11417,770285 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-11 9,0795 9,0745 1253,5 1253,5 11381,15325 11374,88575 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-14 9,0695 9,0645 1274,61 1274,61 11560,075395 11553,702345 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-15 9,1035 9,0985 1249,42 1249,42 11374,09497 11367,84787 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-16 9,0975 9,0925 1250,67 1250,67 11377,970325 11371,716975 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-17 9,1045 9,0995 1229,97 1229,97 11198,261865 11192,112015 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-18 9,1035 9,0985 1230,51 1230,51 11201,947785 11195,795235 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-21 9,1265 9,1215 1233,3 1233,3 11255,71245 11249,54595 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-22 9,1265 9,1215 1235,17 1235,17 11272,779005 11266,603155 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-23 9,1165 9,1115 1235,63 1235,63 11264,620895 11258,442745 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-24 9,1135 9,1085 1244,97 1244,97 11346,034095 11339,809245 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-29 9,1315 9,1265 1257,51 1257,51 11482,952565 11476,665015 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-30 9,1425 9,1375 1253,45 1253,45 11459,666625 11453,399375 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-03-31 9,1405 9,1355 1257,16 1257,16 11491,07098 11484,78518 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-01 9,1645 9,1595 1257,88 1257,88 11527,84126 11521,55186 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-04 9,1695 9,1645 1258,77 1258,77 11542,291515 11535,997665 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-05 9,1745 9,1695 1258,15 1258,15 11542,897175 11536,606425 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-06 9,1705 9,1655 1268,3 1268,3 11630,94515 11624,60365 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-07 9,1505 9,1455 1274,04 1274,04 11658,10302 11651,73282 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-08 9,1625 9,1575 1278,11 1278,11 11710,682875 11704,292325 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-11 9,1705 9,1655 1277,85 1277,85 11718,523425 11712,134175 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-12 9,1525 9,1475 1266,63 1266,63 11592,831075 11586,497925 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-13 9,1495 9,1445 1266,29 1266,29 11585,920355 11579,588905 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-14 9,1685 9,1635 1271,98 1271,98 11662,14863 11655,78873 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-15 9,1925 9,1875 1270,54 1270,54 11679,43895 11673,08625 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-18 9,1805 9,1755 1246,66 1246,66 11444,96213 11438,72883 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-19 9,2035 9,1985 1224,01 1224,01 11265,176035 11259,055985 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-20 9,1915 9,1865 1228,96 1228,96 11295,98584 11289,84104 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-21 9,1855 9,1805 1221,15 1221,15 11216,873325 11210,767575 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-22 9,1625 9,1575 1225,16 1225,16 11225,5285 11219,4027 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-25 9,1685 9,1635 1229,82 1229,82 11275,60467 11269,45557 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-26 9,1375 9,1325 1239,7 1239,7 11327,75875 11321,56025 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-27 9,1465 9,1415 1232,78 1232,78 11275,62227 11269,45837 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-28 9,1505 9,1455 1228,28 1228,28 11239,37614 11233,23474 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-04-29 9,1705 9,1655 1227,99 1227,99 11261,282295 11255,142345 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-02 9,1935 9,1885 1235,15 1235,15 11355,351525 11349,175775 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-03 9,2245 9,2195 1244,17 1244,17 11476,846165 11470,625315 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-04 9,1915 9,1865 1243,92 1243,92 11433,49068 11427,27108 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-06 9,1715 9,1665 1256,69 1256,69 11525,732335 11519,448885 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-09 9,1815 9,1765 1263,86 1263,86 11604,13059 11597,81129 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-10 9,1985 9,1935 1265,25 1265,25 11638,402125 11632,075875 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-11 9,2105 9,2055 1252,41 1252,41 11535,322305 11529,060255 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-12 9,2315 9,2265 1252,16 1252,16 11559,31504 11553,05424 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-13 9,2045 9,1995 1255,15 1255,15 11553,028175 11546,752425 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-17 9,2325 9,2275 1264,71 1264,71 11676,435075 11670,111525 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-18 9,2095 9,2045 1268,51 1268,51 11682,342845 11676,000295 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-19 9,1905 9,1855 1280,1 1280,1 11764,75905 11758,35855 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-20 9,1955 9,1905 1290,54 1290,54 11867,16057 11860,70787 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-23 9,1805 9,1755 1297,16 1297,16 11908,57738 11902,09158 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-24 9,1815 9,1765 1300,16 1300,16 11937,41904 11930,91824 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-25 9,1785 9,1735 1296,69 1296,69 11901,669165 11895,185715 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-26 9,1945 9,1895 1292,02 1292,02 11879,47789 11873,01779 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-27 9,1955 9,1905 1301,74 1301,74 11970,15017 11963,64147 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-30 9,1905 9,1855 1300,19 1300,19 11949,396195 11942,895245 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-05-31 9,1665 9,1615 1309,77 1309,77 12006,006705 11999,457855 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-01 9,1455 9,1405 1310,91 1310,91 11988,927405 11982,372855 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-02 9,1565 9,1515 1325,23 1325,23 12134,468495 12127,842345 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-03 9,1315 9,1265 1327,98 1327,98 12126,44937 12119,80947 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-07 9,1455 9,1405 1319,39 1319,39 12066,481245 12059,884295 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-08 9,1455 9,1405 1326,22 1326,22 12128,94501 12122,31391 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-09 9,1965 9,1915 1323,94 1323,94 12175,61421 12168,99451 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-10 9,1975 9,1925 1328,97 1328,97 12223,201575 12216,556725 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-13 9,2365 9,2315 1338,47 1338,47 12362,778155 12356,085805 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-14 9,2985 9,2935 1345,4 1345,4 12510,2019 12503,4749 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-15 9,2695 9,2645 1352,63 1352,63 12538,203785 12531,440635 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-16 9,2695 9,2645 1354,39 1354,39 12554,518105 12547,746155 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-17 9,2695 9,2645 1361,71 1361,71 12622,370845 12615,562295 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-20 9,2255 9,2205 1354,23 1354,23 12493,448865 12486,677715 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-21 9,2725 9,2675 1356,59 1356,59 12578,980775 12572,197825 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-22 9,2615 9,2565 1367,6 1367,6 12666,0274 12659,1894 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-27 9,3855 9,3805 1351,92 1351,92 12688,44516 12681,68556 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-28 9,3995 9,3945 1336,06 1336,06 12558,29597 12551,61567 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-29 9,4215 9,4165 1349,37 1349,37 12713,089455 12706,342605 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-06-30 9,4415 9,4365 1355,27 1355,27 12795,781705 12789,005355 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-01 9,4595 9,4545 1346,16 1346,16 12734,00052 12727,26972 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-04 9,4795 9,4745 1357,67 1357,67 12870,032765 12863,244415 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-05 9,4575 9,4525 1361,46 1361,46 12876,00795 12869,20065 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-06 9,4195 9,4145 1361,84 1361,84 12827,85188 12821,04268 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-07 9,3965 9,3915 1360,02 1360,02 12779,42793 12772,62783 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-08 9,4175 9,4125 1344,15 1344,15 12658,532625 12651,811875 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-11 9,4665 9,4615 1362,18 1362,18 12895,07697 12888,26607 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-12 9,4645 9,4595 1367,54 1367,54 12943,08233 12936,24463 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-13 9,3915 9,3865 1363,76 1363,76 12807,75204 12800,93324 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-14 9,3675 9,3625 1373,33 1373,33 12864,668775 12857,802125 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-15 9,4055 9,4005 1382,07 1382,07 12999,059385 12992,149035 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-18 9,3895 9,3845 1387,16 1387,16 13024,73882 13017,80302 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-19 9,4425 9,4375 1383,95 1383,95 13067,947875 13061,028125 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-20 9,4265 9,4215 1390,53 1390,53 13107,831045 13100,878395 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-21 9,4625 9,4575 1385,87 1385,87 13113,794875 13106,865525 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-22 9,4495 9,4445 1376,22 1376,22 13004,59089 12997,70979 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-25 9,4275 9,4225 1375,13 1375,13 12964,038075 12957,162425 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-26 9,4155 9,4105 1374,79 1374,79 12944,335245 12937,461295 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-27 9,4725 9,4675 1382,68 1382,68 13097,4363 13090,5229 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-28 9,4515 9,4465 1389,89 1389,89 13136,545335 13129,595885 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-07-29 9,3885 9,3835 1395,67 1395,67 13103,247795 13096,269445 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-01 9,3985 9,3935 1389,26 1389,26 13056,96011 13050,01381 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-02 9,3995 9,3945 1386,08 1386,08 13028,45896 13021,52856 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-03 9,3755 9,3705 1394,22 1394,22 13071,50961 13064,53851 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-04 9,3735 9,3685 1389,64 1389,64 13025,79054 13018,84234 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-05 9,3355 9,3305 1374,62 1374,62 12832,76501 12825,89191 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-08 9,3335 9,3285 1363,5 1363,5 12726,22725 12719,40975 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-09 9,3455 9,3405 1364,13 1364,13 12748,476915 12741,656265 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-10 9,3535 9,3485 1375,14 1375,14 12862,37199 12855,49629 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-11 9,3365 9,3315 1384,23 1384,23 12923,863395 12916,942245 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-12 9,3025 9,2975 1384,87 1384,87 12882,753175 12875,828825 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-16 9,2995 9,2945 1387,37 1387,37 12901,847315 12894,910465 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-17 9,3405 9,3355 1382,91 1382,91 12917,070855 12910,156305 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-18 9,3365 9,3315 1383,16 1383,16 12913,87334 12906,95754 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-19 9,3395 9,3345 1385,59 1385,59 12940,717805 12933,789855 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-22 9,3655 9,3605 1392,36 1392,36 13040,14758 13033,18578 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-23 9,3715 9,3665 1393,14 1393,14 13055,81151 13048,84581 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-24 9,3365 9,3315 1389,31 1389,31 12971,292815 12964,346265 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-25 9,3335 9,3285 1383,09 1383,09 12909,070515 12902,155065 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-26 9,3415 9,3365 1375,23 1375,23 12846,711045 12839,834895 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-29 9,3295 9,3245 1365,93 1365,93 12743,443935 12736,614285 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-30 9,3285 9,3235 1369,35 1369,35 12773,981475 12767,134725 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-08-31 9,3585 9,3535 1371,29 1371,29 12833,217465 12826,361015 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-01 9,3365 9,3315 1373,92 1373,92 12827,60408 12820,73448 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-02 9,3025 9,2975 1366,36 1366,36 12710,5639 12703,7321 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-05 9,2845 9,2795 1366,44 1366,44 12686,71218 12679,87998 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-06 9,3225 9,3175 1374,39 1374,39 12812,750775 12805,878825 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-07 9,3075 9,3025 1386,8 1386,8 12907,641 12900,707 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-08 9,3255 9,3205 1393,24 1393,24 12992,65962 12985,69342 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-09 9,3445 9,3395 1389,64 1389,64 12985,49098 12978,54278 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-12 9,3015 9,2965 1401,19 1401,19 13033,168785 13026,162835 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-13 9,3015 9,2965 1413,24 1413,24 13145,25186 13138,18566 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-14 9,3365 9,3315 1406,46 1406,46 13131,41379 13124,38149 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-15 9,3425 9,3375 1410,63 1410,63 13178,810775 13171,757625 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-16 9,3465 9,3415 1417,61 1417,61 13249,691865 13242,603815 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-19 9,3355 9,3305 1425,11 1425,11 13304,114405 13296,988855 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-20 9,3395 9,3345 1424,69 1424,69 13305,892255 13298,768805 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-21 9,3405 9,3355 1424,23 1424,23 13303,020315 13295,899165 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-22 9,3405 9,3355 1413,95 1413,95 13206,999975 13199,930225 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-23 9,3695 9,3645 1414,47 1414,47 13252,876665 13245,804315 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-26 9,3815 9,3765 1425,81 1425,81 13376,236515 13369,107465 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-27 9,3885 9,3835 1447,09 1447,09 13586,004465 13578,769015 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-28 9,3935 9,3885 1439,98 1439,98 13526,45213 13519,25223 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-29 9,3845 9,3795 1456,54 1456,54 13668,89963 13661,61693 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-09-30 9,3435 9,3385 1460,93 1460,93 13650,199455 13642,894805 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-03 9,3025 9,2975 1461,96 1461,96 13599,8829 13592,5731 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-04 9,3185 9,3135 1477,65 1477,65 13769,481525 13762,093275 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-05 9,3105 9,3055 1477,41 1477,41 13755,425805 13748,038755 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-06 9,3015 9,2965 1458,99 1458,99 13570,795485 13563,500535 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-07 9,3385 9,3335 1430,47 1430,47 13358,444095 13351,291745 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-10 9,3465 9,3415 1427,08 1427,08 13338,20322 13331,06782 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-11 9,3395 9,3345 1423,54 1423,54 13295,15183 13288,03413 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-12 9,3375 9,3325 1428,98 1428,98 13343,10075 13335,95585 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-13 9,3815 9,3765 1419,75 1419,75 13319,384625 13312,285875 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-14 9,4135 9,4085 1427,36 1427,36 13436,45336 13429,31656 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-17 9,4575 9,4525 1424,08 1424,08 13468,2366 13461,1162 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-18 9,4625 9,4575 1426,78 1426,78 13500,90575 13493,77185 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-19 9,4605 9,4555 1426,58 1426,58 13496,16009 13489,02719 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-20 9,4935 9,4885 1412,81 1412,81 13412,511735 13405,447685 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-21 9,4915 9,4865 1411,2 1411,2 13394,4048 13387,3488 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-24 9,5455 9,5405 1408,04 1408,04 13440,44582 13433,40562 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-25 9,5465 9,5415 1424,32 1424,32 13597,27088 13590,14928 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-26 9,4975 9,4925 1413,67 1413,67 13426,330825 13419,262475 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-27 9,5355 9,5305 1414,31 1414,31 13486,153005 13479,081455 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-28 9,5135 9,5085 1391,25 1391,25 13235,656875 13228,700625 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-10-31 9,5495 9,5445 1397,01 1397,01 13340,746995 13333,761945 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-02 9,5855 9,5805 1421,35 1421,35 13624,350425 13617,243675 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-03 9,6515 9,6465 1420,96 1420,96 13714,39544 13707,29064 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-04 9,5875 9,5825 1433,21 1433,21 13740,900875 13733,734825 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-07 9,6075 9,6025 1449,74 1449,74 13928,37705 13921,12835 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-08 9,5685 9,5635 1454,13 1454,13 13913,842905 13906,572255 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-09 9,5575 9,5525 1452,13 1452,13 13878,732475 13871,471825 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-10 9,6105 9,6055 1452,05 1452,05 13954,926525 13947,666275 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-11 9,6365 9,6315 1451,99 1451,99 13992,101635 13984,841685 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-14 9,5505 9,5455 1467,29 1467,29 14013,353145 14006,016695 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-15 9,5805 9,5755 1455,53 1455,53 13944,705165 13937,427515 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-16 9,6235 9,6185 1449,06 1449,06 13945,02891 13937,78361 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-17 9,6355 9,6305 1445,8 1445,8 13931,0059 13923,7769 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-18 9,6085 9,6035 1455,43 1455,43 13984,499155 13977,222005 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-21 9,5915 9,5865 1473,24 1473,24 14130,58146 14123,21526 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-22 9,5585 9,5535 1471,4 1471,4 14064,3769 14057,0199 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-23 9,5155 9,5105 1469,21 1469,21 13980,267755 13972,921705 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-24 9,5125 9,5075 1476,48 1476,48 14045,016 14037,6336 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-25 9,4965 9,4915 1474,94 1474,94 14006,76771 13999,39301 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-28 9,4835 9,4785 1480,06 1480,06 14036,14901 14028,74871 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-29 9,4785 9,4735 1471,27 1471,27 13945,432695 13938,076345 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-11-30 9,5295 9,5245 1471,03 1471,03 14018,180385 14010,825235 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-01 9,5165 9,5115 1455,98 1455,98 13855,83367 13848,55377 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-02 9,4905 9,4855 1485,14 1485,14 14094,72117 14087,29547 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-05 9,4065 9,4015 1491,23 1491,23 14027,254995 14019,798845 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-06 9,4185 9,4135 1479,54 1479,54 13935,04749 13927,64979 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-07 9,4255 9,4205 1479,42 1479,42 13944,27321 13936,87611 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-08 9,3965 9,3915 1484,71 1484,71 13951,077515 13943,653965 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-12 9,4315 9,4265 1476,64 1476,64 13926,93016 13919,54696 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-13 9,4295 9,4245 1469,55 1469,55 13857,121725 13849,773975 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-14 9,4365 9,4315 1475,95 1475,95 13927,802175 13920,422425 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-15 9,4345 9,4295 1469,46 1469,46 13863,62037 13856,27307 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-16 9,4765 9,4715 1474,89 1474,89 13976,795085 13969,420635 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-19 9,4535 9,4485 1478,38 1478,38 13975,86533 13968,47343 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-20 9,4015 9,3965 1482,69 1482,69 13939,510035 13932,096585 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-21 9,4485 9,4435 1481,31 1481,31 13996,157535 13988,750985 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-22 9,4365 9,4315 1492,76 1492,76 14086,42974 14078,96594 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-23 9,4425 9,4375 1488,43 1488,43 14054,500275 14047,058125 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-27 9,4915 9,4865 1487,87 1487,87 14122,118105 14114,678755 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-28 9,4345 9,4295 1481,04 1481,04 13972,87188 13965,46668 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-29 9,4115 9,4065 1478,34 1478,34 13913,39691 13906,00521 827469 Banque de Luxembourg S.A. Selector Global Value EUR 2005-12-30 9,4325 9,4275 1486,85 1486,85 14024,712625 14017,278375 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-10-27 9,5355 9,5305 1014,72 1014,72 9675,86256 9670,78896 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-10-28 9,5135 9,5085 1000,68 1000,68 9519,96918 9514,96578 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-10-31 9,5495 9,5445 1022,07 1022,07 9760,257465 9755,147115 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-02 9,5855 9,5805 1052,47 1052,47 10088,451185 10083,188835 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-03 9,6515 9,6465 1057,32 1057,32 10204,72398 10199,43738 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-04 9,5875 9,5825 1073,02 1073,02 10287,57925 10282,21415 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-07 9,6075 9,6025 1089,49 1089,49 10467,275175 10461,827725 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-08 9,5685 9,5635 1092,01 1092,01 10448,897685 10443,437635 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-09 9,5575 9,5525 1089,88 1089,88 10416,5281 10411,0787 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-10 9,6105 9,6055 1091,3 1091,3 10487,93865 10482,48215 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-11 9,6365 9,6315 1101,28 1101,28 10612,48472 10606,97832 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-14 9,5505 9,5455 1109,82 1109,82 10599,33591 10593,78681 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-15 9,5805 9,5755 1111,08 1111,08 10644,70194 10639,14654 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-16 9,6235 9,6185 1104,31 1104,31 10627,327285 10621,805735 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-17 9,6355 9,6305 1115,36 1115,36 10747,05128 10741,47448 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-18 9,6085 9,6035 1123,47 1123,47 10794,861495 10789,244145 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-21 9,5915 9,5865 1124,76 1124,76 10788,13554 10782,51174 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-22 9,5585 9,5535 1124,79 1124,79 10751,305215 10745,681265 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-23 9,5155 9,5105 1134,13 1134,13 10791,814015 10786,143365 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-24 9,5125 9,5075 1125,95 1125,95 10710,599375 10704,969625 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-25 9,4965 9,4915 1126,15 1126,15 10694,483475 10688,852725 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-28 9,4835 9,4785 1134,28 1134,28 10756,94438 10751,27298 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-29 9,4785 9,4735 1123,58 1123,58 10649,85303 10644,23513 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-11-30 9,5295 9,5245 1127,18 1127,18 10741,46181 10735,82591 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-01 9,5165 9,5115 1122,98 1122,98 10686,83917 10681,22427 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-02 9,4905 9,4855 1134,95 1134,95 10771,242975 10765,568225 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-05 9,4065 9,4015 1136,05 1136,05 10686,254325 10680,574075 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-06 9,4185 9,4135 1127,82 1127,82 10622,37267 10616,73357 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-07 9,4255 9,4205 1129,91 1129,91 10649,966705 10644,317155 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-08 9,3965 9,3915 1128,42 1128,42 10603,19853 10597,55643 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-12 9,4315 9,4265 1127,44 1127,44 10633,45036 10627,81316 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-13 9,4295 9,4245 1113,74 1113,74 10502,01133 10496,44263 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-14 9,4365 9,4315 1114,45 1114,45 10516,507425 10510,935175 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-15 9,4345 9,4295 1110,25 1110,25 10474,653625 10469,102375 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-16 9,4765 9,4715 1118,34 1118,34 10597,94901 10592,35731 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-19 9,4535 9,4485 1108,4 1108,4 10478,2594 10472,7174 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-20 9,4015 9,3965 1098,79 1098,79 10330,274185 10324,780235 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-21 9,4485 9,4435 1113,42 1113,42 10520,14887 10514,58177 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-22 9,4365 9,4315 1126,36 1126,36 10628,89614 10623,26434 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-23 9,4425 9,4375 1128,83 1128,83 10658,977275 10653,333125 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-27 9,4915 9,4865 1129,14 1129,14 10717,23231 10711,58661 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-28 9,4345 9,4295 1113,69 1113,69 10507,108305 10501,539855 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-29 9,4115 9,4065 1113,75 1113,75 10482,058125 10476,489375 613661 Banque de Luxembourg S.A. Selector US Large Cap Growth EUR 2005-12-30 9,4325 9,4275 1116,38 1116,38 10530,25435 10524,67245 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-03 9,0065 9,0015 1111,44 1111,44 10010,18436 10004,62716 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-04 9,0345 9,0295 1104,64 1104,64 9979,87008 9974,34688 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-05 9,0615 9,0565 1098,53 1098,53 9954,329595 9948,836945 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-07 9,0615 9,0565 1099,55 1099,55 9963,572325 9958,074575 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-10 9,08619 9,08119 1106,74 1106,74 10056,0499206 10050,5162206 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-11 9,08619 9,08119 1110,93 1110,93 10094,1210567 10088,5664067 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-12 9,0455 9,0405 1100,1 1100,1 9950,95455 9945,45405 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-13 9,0505 9,0455 1094,15 1094,15 9902,604575 9897,133825 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-14 9,0455 9,0405 1097,94 1097,94 9931,41627 9925,92657 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-17 9,0685 9,0635 1106,82 1106,82 10037,19717 10031,66307 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-18 9,0585 9,0535 1107,75 1107,75 10034,553375 10029,014625 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-19 9,0225 9,0175 1122,25 1122,25 10125,500625 10119,889375 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-20 9,0315 9,0265 1110,25 1110,25 10027,222875 10021,671625 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-21 9,0505 9,0455 1111,67 1111,67 10061,169335 10055,610985 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-24 9,0655 9,0605 1104,93 1104,93 10016,742915 10011,218265 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-25 9,0715 9,0665 1089,7 1089,7 9885,21355 9879,76505 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-26 9,0885 9,0835 1099,98 1099,98 9997,16823 9991,66833 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-27 9,0675 9,0625 1103,02 1103,02 10001,63385 9996,11875 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-28 9,0955 9,0905 1111,35 1111,35 10108,283925 10102,727175 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-01-31 9,1075 9,1025 1113,17 1113,17 10138,195775 10132,629925 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-01 9,1035 9,0985 1126,61 1126,61 10256,094135 10250,461085 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-02 9,0905 9,0855 1132,91 1132,91 10298,718355 10293,053805 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-03 9,0695 9,0645 1138,08 1138,08 10321,81656 10316,12616 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-04 9,0895 9,0845 1140,03 1140,03 10362,302685 10356,602535 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-07 9,0755 9,0705 1158,03 1158,03 10509,701265 10503,911115 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-08 9,0895 9,0845 1164,97 1164,97 10588,994815 10583,169965 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-09 9,0695 9,0645 1171,65 1171,65 10626,279675 10620,421425 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-10 9,0805 9,0755 1146,97 1146,97 10415,061085 10409,326235 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-11 9,0935 9,0885 1136,61 1136,61 10335,763035 10330,079985 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-14 9,1105 9,1055 1146,98 1146,98 10449,56129 10443,82639 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-15 9,0765 9,0715 1138,37 1138,37 10332,415305 10326,723455 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-16 9,0705 9,0655 1140,88 1140,88 10348,35204 10342,64764 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-17 9,0925 9,0875 1135,48 1135,48 10324,3519 10318,6745 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-18 9,0945 9,0895 1130,73 1130,73 10283,423985 10277,770335 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-21 9,1185 9,1135 1127,7 1127,7 10282,93245 10277,29395 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-22 9,0975 9,0925 1127,3 1127,3 10255,61175 10249,97525 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-23 9,1045 9,0995 1096,92 1096,92 9986,90814 9981,42354 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-24 9,0715 9,0665 1099,14 1099,14 9970,84851 9965,35281 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-25 9,0845 9,0795 1108,17 1108,17 10067,170365 10061,629515 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-02-28 9,0505 9,0455 1122,91 1122,91 10162,896955 10157,282405 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-01 9,0565 9,0515 1119,4 1119,4 10137,8461 10132,2491 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-02 9,0645 9,0595 1133,63 1133,63 10275,789135 10270,120985 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-03 9,0675 9,0625 1138,32 1138,32 10321,7166 10316,025 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-04 9,0415 9,0365 1133,41 1133,41 10247,726515 10242,059465 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-07 9,0425 9,0375 1129,98 1129,98 10217,84415 10212,19425 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-08 9,0345 9,0295 1135,35 1135,35 10257,319575 10251,642825 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-09 9,0365 9,0315 1115,18 1115,18 10077,32407 10071,74817 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-10 9,0655 9,0605 1104,39 1104,39 10011,847545 10006,325595 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-11 9,0795 9,0745 1092,05 1092,05 9915,267975 9909,807725 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-14 9,0695 9,0645 1087,14 1087,14 9859,81623 9854,38053 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-15 9,1035 9,0985 1100,74 1100,74 10020,58659 10015,08289 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-16 9,0975 9,0925 1104,28 1104,28 10046,1873 10040,6659 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-17 9,1045 9,0995 1082,62 1082,62 9856,71379 9851,30069 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-18 9,1035 9,0985 1092,21 1092,21 9942,933735 9937,472685 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-21 9,1265 9,1215 1095,46 1095,46 9997,71569 9992,23839 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-22 9,1265 9,1215 1100,41 1100,41 10042,891865 10037,389815 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-23 9,1165 9,1115 1091,77 1091,77 9953,121205 9947,662355 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-24 9,1135 9,1085 1106,33 1106,33 10082,538455 10077,006805 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-29 9,1315 9,1265 1120,3 1120,3 10230,01945 10224,41795 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-30 9,1425 9,1375 1100,85 1100,85 10064,521125 10059,016875 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-03-31 9,1405 9,1355 1112,61 1112,61 10169,811705 10164,248655 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-01 9,1645 9,1595 1111,46 1111,46 10185,97517 10180,41787 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-04 9,1695 9,1645 1115,85 1115,85 10231,786575 10226,207325 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-05 9,1745 9,1695 1132,15 1132,15 10386,910175 10381,249425 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-06 9,1705 9,1655 1139,09 1139,09 10446,024845 10440,329395 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-07 9,1505 9,1455 1146,59 1146,59 10491,871795 10486,138845 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-08 9,1625 9,1575 1143,07 1143,07 10473,378875 10467,663525 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-11 9,1705 9,1655 1138,53 1138,53 10440,889365 10435,196715 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-12 9,1525 9,1475 1126,44 1126,44 10309,7421 10304,1099 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-13 9,1495 9,1445 1137,31 1137,31 10405,817845 10400,131295 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-14 9,1685 9,1635 1125,84 1125,84 10322,26404 10316,63484 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-15 9,1925 9,1875 1115,28 1115,28 10252,2114 10246,635 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-18 9,1805 9,1755 1093,71 1093,71 10040,804655 10035,336105 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-19 9,2035 9,1985 1089,73 1089,73 10029,330055 10023,881405 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-20 9,1915 9,1865 1102,94 1102,94 10137,67301 10132,15831 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-21 9,1855 9,1805 1087,12 1087,12 9985,74076 9980,30516 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-22 9,1625 9,1575 1104,62 1104,62 10121,08075 10115,55765 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-25 9,1685 9,1635 1098,91 1098,91 10075,356335 10069,861785 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-26 9,1375 9,1325 1118,51 1118,51 10220,385125 10214,792575 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-27 9,1465 9,1415 1103,26 1103,26 10090,96759 10085,45129 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-28 9,1505 9,1455 1109,69 1109,69 10154,218345 10148,669895 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-04-29 9,1705 9,1655 1084,89 1084,89 9948,983745 9943,559295 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-02 9,1935 9,1885 1089,7 1089,7 10018,15695 10012,70845 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-03 9,2245 9,2195 1104,34 1104,34 10186,98433 10181,46263 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-04 9,1915 9,1865 1100,21 1100,21 10112,580215 10107,079165 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-06 9,1715 9,1665 1107,74 1107,74 10159,63741 10154,09871 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-09 9,1815 9,1765 1118,92 1118,92 10273,36398 10267,76938 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-10 9,1985 9,1935 1128,65 1128,65 10381,887025 10376,243775 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-11 9,2105 9,2055 1111,18 1111,18 10234,52339 10228,96749 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-12 9,2315 9,2265 1121,95 1121,95 10357,281425 10351,671675 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-13 9,2045 9,1995 1115,52 1115,52 10267,80384 10262,22624 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-17 9,2325 9,2275 1136,66 1136,66 10494,21345 10488,53015 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-18 9,2095 9,2045 1143,6 1143,6 10531,9842 10526,2662 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-19 9,1905 9,1855 1166,7 1166,7 10722,55635 10716,72285 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-20 9,1955 9,1905 1172,45 1172,45 10781,263975 10775,401725 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-23 9,1805 9,1755 1177,97 1177,97 10814,353585 10808,463735 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-24 9,1815 9,1765 1185,85 1185,85 10887,881775 10881,952525 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-25 9,1785 9,1735 1187,42 1187,42 10898,73447 10892,79737 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-26 9,1945 9,1895 1171,66 1171,66 10772,82787 10766,96957 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-27 9,1955 9,1905 1195,02 1195,02 10988,80641 10982,83131 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-30 9,1905 9,1855 1193,31 1193,31 10967,115555 10961,149005 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-05-31 9,1665 9,1615 1199,87 1199,87 10998,608355 10992,609005 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-01 9,1455 9,1405 1209,53 1209,53 11061,756615 11055,708965 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-02 9,1565 9,1515 1227,91 1227,91 11243,357915 11237,218365 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-03 9,1315 9,1265 1227,34 1227,34 11207,45521 11201,31851 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-07 9,1455 9,1405 1223,45 1223,45 11189,061975 11182,944725 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-08 9,1455 9,1405 1225,15 1225,15 11204,609325 11198,483575 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-09 9,1965 9,1915 1208,38 1208,38 11112,86667 11106,82477 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-10 9,1975 9,1925 1234 1234 11349,715 11343,545 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-13 9,2365 9,2315 1238,54 1238,54 11439,77471 11433,58201 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-14 9,2985 9,2935 1252,21 1252,21 11643,674685 11637,413635 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-15 9,2695 9,2645 1254,94 1254,94 11632,66633 11626,39163 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-16 9,2695 9,2645 1251,7 1251,7 11602,63315 11596,37465 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-17 9,2695 9,2645 1266,73 1266,73 11741,953735 11735,620085 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-20 9,2255 9,2205 1247,39 1247,39 11507,796445 11501,559495 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-21 9,2725 9,2675 1251,76 1251,76 11606,9446 11600,6858 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-22 9,2615 9,2565 1249,05 1249,05 11568,076575 11561,831325 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-27 9,3855 9,3805 1234,32 1234,32 11584,71036 11578,53876 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-28 9,3995 9,3945 1229,1 1229,1 11552,92545 11546,77995 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-29 9,4215 9,4165 1255,33 1255,33 11827,091595 11820,814945 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-06-30 9,4415 9,4365 1263,79 1263,79 11932,073285 11925,754335 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-01 9,4595 9,4545 1259,52 1259,52 11914,42944 11908,13184 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-04 9,4795 9,4745 1281,2 1281,2 12145,1354 12138,7294 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-05 9,4575 9,4525 1288,08 1288,08 12182,0166 12175,5762 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-06 9,4195 9,4145 1300,33 1300,33 12248,458435 12241,956785 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-07 9,3965 9,3915 1292,99 1292,99 12149,580535 12143,115585 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-08 9,4175 9,4125 1294,31 1294,31 12189,164425 12182,692875 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-11 9,4665 9,4615 1315,32 1315,32 12451,47678 12444,90018 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-12 9,4645 9,4595 1314,27 1314,27 12438,908415 12432,337065 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-13 9,3915 9,3865 1302 1302 12227,733 12221,223 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-14 9,3675 9,3625 1304,1 1304,1 12216,15675 12209,63625 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-15 9,4055 9,4005 1291,91 1291,91 12151,059505 12144,599955 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-18 9,3895 9,3845 1301,72 1301,72 12222,49994 12215,99134 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-19 9,4425 9,4375 1290,61 1290,61 12186,584925 12180,131875 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-20 9,4265 9,4215 1310,32 1310,32 12351,73148 12345,17988 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-21 9,4625 9,4575 1311,6 1311,6 12411,015 12404,457 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-22 9,4495 9,4445 1282,84 1282,84 12122,19658 12115,78238 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-25 9,4275 9,4225 1292,19 1292,19 12182,121225 12175,660275 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-26 9,4155 9,4105 1291,02 1291,02 12155,59881 12149,14371 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-27 9,4725 9,4675 1299,8 1299,8 12312,3555 12305,8565 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-28 9,4515 9,4465 1306,75 1306,75 12350,747625 12344,213875 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-07-29 9,3885 9,3835 1323,22 1323,22 12423,05097 12416,43487 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-01 9,3985 9,3935 1318,74 1318,74 12394,17789 12387,58419 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-02 9,3995 9,3945 1323,44 1323,44 12439,67428 12433,05708 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-03 9,3755 9,3705 1332,99 1332,99 12497,447745 12490,782795 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-04 9,3735 9,3685 1317,47 1317,47 12349,305045 12342,717695 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-05 9,3355 9,3305 1298,2 1298,2 12119,3461 12112,8551 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-08 9,3335 9,3285 1292,58 1292,58 12064,29543 12057,83253 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-09 9,3455 9,3405 1281,41 1281,41 11975,417155 11969,010105 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-10 9,3535 9,3485 1282,59 1282,59 11996,705565 11990,292615 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-11 9,3365 9,3315 1277,91 1277,91 11931,206715 11924,817165 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-12 9,3025 9,2975 1281,89 1281,89 11924,781725 11918,372275 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-16 9,2995 9,2945 1284,69 1284,69 11946,974655 11940,551205 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-17 9,3405 9,3355 1272,18 1272,18 11882,79729 11876,43639 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-18 9,3365 9,3315 1277,39 1277,39 11926,351735 11919,964785 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-19 9,3395 9,3345 1290,86 1290,86 12055,98697 12049,53267 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-22 9,3655 9,3605 1293,93 1293,93 12118,301415 12111,831765 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-23 9,3715 9,3665 1284,54 1284,54 12038,06661 12031,64391 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-24 9,3365 9,3315 1283,04 1283,04 11979,10296 11972,68776 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-25 9,3335 9,3285 1277 1277 11918,8795 11912,4945 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-26 9,3415 9,3365 1277,63 1277,63 11934,980645 11928,592495 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-29 9,3295 9,3245 1263,37 1263,37 11786,610415 11780,293565 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-30 9,3285 9,3235 1277,39 1277,39 11916,132615 11909,745665 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-08-31 9,3585 9,3535 1282,61 1282,61 12003,305685 11996,892635 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-01 9,3365 9,3315 1290,21 1290,21 12046,045665 12039,594615 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-02 9,3025 9,2975 1273,7 1273,7 11848,59425 11842,22575 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-05 9,2845 9,2795 1254,17 1254,17 11644,341365 11638,070515 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-06 9,3225 9,3175 1256,99 1256,99 11718,289275 11712,004325 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-07 9,3075 9,3025 1278,55 1278,55 11900,104125 11893,711375 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-08 9,3255 9,3205 1287,22 1287,22 12003,97011 11997,53401 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-09 9,3445 9,3395 1281,13 1281,13 11971,519285 11965,113635 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-12 9,3015 9,2965 1281,99 1281,99 11924,429985 11918,020035 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-13 9,3015 9,2965 1302,4 1302,4 12114,2736 12107,7616 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-14 9,3365 9,3315 1297,4 1297,4 12113,1751 12106,6881 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-15 9,3425 9,3375 1285,7 1285,7 12011,65225 12005,22375 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-16 9,3465 9,3415 1286,54 1286,54 12024,64611 12018,21341 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-19 9,3355 9,3305 1292,9 1292,9 12069,86795 12063,40345 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-20 9,3395 9,3345 1291,34 1291,34 12060,46993 12054,01323 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-21 9,3405 9,3355 1286,42 1286,42 12015,80601 12009,37391 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-22 9,3405 9,3355 1264,48 1264,48 11810,87544 11804,55304 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-23 9,3695 9,3645 1269,12 1269,12 11891,01984 11884,67424 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-26 9,3815 9,3765 1287,49 1287,49 12078,587435 12072,149985 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-27 9,3885 9,3835 1299,92 1299,92 12204,29892 12197,79932 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-28 9,3935 9,3885 1299,55 1299,55 12207,322925 12200,825175 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-29 9,3845 9,3795 1294,43 1294,43 12147,578335 12141,106185 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-09-30 9,3435 9,3385 1311,19 1311,19 12251,103765 12244,547815 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-03 9,3025 9,2975 1311,78 1311,78 12202,83345 12196,27455 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-04 9,3185 9,3135 1332,82 1332,82 12419,88317 12413,21907 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-05 9,3105 9,3055 1304,33 1304,33 12143,964465 12137,442815 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-06 9,3015 9,2965 1277,65 1277,65 11884,061475 11877,673225 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-07 9,3385 9,3335 1247,54 1247,54 11650,15229 11643,91459 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-10 9,3465 9,3415 1259,94 1259,94 11776,02921 11769,72951 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-11 9,3395 9,3345 1256,72 1256,72 11737,13644 11730,85284 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-12 9,3375 9,3325 1249,59 1249,59 11668,046625 11661,798675 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-13 9,3815 9,3765 1232,79 1232,79 11565,419385 11559,255435 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-14 9,4135 9,4085 1245,01 1245,01 11719,901635 11713,676585 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-17 9,4575 9,4525 1239,93 1239,93 11726,637975 11720,438325 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-18 9,4625 9,4575 1249,47 1249,47 11823,109875 11816,862525 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-19 9,4605 9,4555 1254,84 1254,84 11871,41382 11865,13962 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-20 9,4935 9,4885 1274,1 1274,1 12095,66835 12089,29785 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-21 9,4915 9,4865 1261,23 1261,23 11970,964545 11964,658395 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-24 9,5455 9,5405 1268,97 1268,97 12112,953135 12106,608285 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-25 9,5465 9,5415 1290,03 1290,03 12315,271395 12308,821245 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-26 9,4975 9,4925 1272,95 1272,95 12089,842625 12083,477875 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-27 9,5355 9,5305 1271 1271 12119,6205 12113,2655 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-28 9,5135 9,5085 1249,74 1249,74 11889,40149 11883,15279 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-10-31 9,5495 9,5445 1262,03 1262,03 12051,755485 12045,445335 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-02 9,5855 9,5805 1292,56 1292,56 12389,83388 12383,37108 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-03 9,6515 9,6465 1309,01 1309,01 12633,910015 12627,364965 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-04 9,5875 9,5825 1321,19 1321,19 12666,909125 12660,303175 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-07 9,6075 9,6025 1341,68 1341,68 12890,1906 12883,4822 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-08 9,5685 9,5635 1350,71 1350,71 12924,268635 12917,515085 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-09 9,5575 9,5525 1349,75 1349,75 12900,235625 12893,486875 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-10 9,6105 9,6055 1360,94 1360,94 13079,31387 13072,50917 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-11 9,6365 9,6315 1367,01 1367,01 13173,191865 13166,356815 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-14 9,5505 9,5455 1377,98 1377,98 13160,39799 13153,50809 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-15 9,5805 9,5755 1377,12 1377,12 13193,49816 13186,61256 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-16 9,6235 9,6185 1375,02 1375,02 13232,50497 13225,62987 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-17 9,6355 9,6305 1371,98 1371,98 13219,71329 13212,85339 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-18 9,6085 9,6035 1380,87 1380,87 13268,089395 13261,185045 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-21 9,5915 9,5865 1386,52 1386,52 13298,80658 13291,87398 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-22 9,5585 9,5535 1388,89 1388,89 13275,705065 13268,760615 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-23 9,5155 9,5105 1403,93 1403,93 13359,095915 13352,076265 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-24 9,5125 9,5075 1402,51 1402,51 13341,376375 13334,363825 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-25 9,4965 9,4915 1403,49 1403,49 13328,242785 13321,225335 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-28 9,4835 9,4785 1409 1409 13362,2515 13355,2065 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-29 9,4785 9,4735 1384,63 1384,63 13124,215455 13117,292305 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-11-30 9,5295 9,5245 1391,47 1391,47 13260,013365 13253,056015 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-01 9,5165 9,5115 1392,38 1392,38 13250,58427 13243,62237 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-02 9,4905 9,4855 1417,44 1417,44 13452,21432 13445,12712 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-05 9,4065 9,4015 1419,11 1419,11 13348,858215 13341,762665 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-06 9,4185 9,4135 1405,87 1405,87 13241,186595 13234,157245 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-07 9,4255 9,4205 1404,08 1404,08 13234,15604 13227,13564 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-08 9,3965 9,3915 1406,4 1406,4 13215,2376 13208,2056 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-12 9,4315 9,4265 1409,12 1409,12 13290,11528 13283,06968 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-13 9,4295 9,4245 1392,15 1392,15 13127,278425 13120,317675 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-14 9,4365 9,4315 1398,41 1398,41 13196,095965 13189,103915 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-15 9,4345 9,4295 1386,84 1386,84 13084,14198 13077,20778 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-16 9,4765 9,4715 1386,62 1386,62 13140,30443 13133,37133 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-19 9,4535 9,4485 1384,82 1384,82 13091,39587 13084,47177 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-20 9,4015 9,3965 1372,92 1372,92 12907,50738 12900,64278 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-21 9,4485 9,4435 1386,52 1386,52 13100,53422 13093,60162 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-22 9,4365 9,4315 1402,98 1402,98 13239,22077 13232,20587 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-23 9,4425 9,4375 1400,39 1400,39 13223,182575 13216,180625 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-27 9,4915 9,4865 1406,06 1406,06 13345,61849 13338,58819 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-28 9,4345 9,4295 1391,1 1391,1 13124,33295 13117,37745 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-29 9,4115 9,4065 1388,45 1388,45 13067,397175 13060,454925 755801 Banque de Luxembourg S.A. Selector US Small Cap Growth EUR 2005-12-30 9,4325 9,4275 1398,47 1398,47 13191,068275 13184,075925 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-03 9,0065 9,0015 2,312 2,312 20,823028 20,811468 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-04 9,0345 9,0295 2,313 2,313 20,8967985 20,8852335 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-05 9,0615 9,0565 2,31 2,31 20,932065 20,920515 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-07 9,0615 9,0565 2,318 2,318 21,004557 20,992967 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-10 9,08619 9,08119 2,32 2,32 21,0799608 21,0683608 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-11 9,08619 9,08119 2,321 2,321 21,08904699 21,07744199 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-12 9,0455 9,0405 2,318 2,318 20,967469 20,955879 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-13 9,0505 9,0455 2,319 2,319 20,9881095 20,9765145 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-14 9,0455 9,0405 2,327 2,327 21,0488785 21,0372435 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-17 9,0685 9,0635 2,328 2,328 21,111468 21,099828 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-18 9,0585 9,0535 2,326 2,326 21,070071 21,058441 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-19 9,0225 9,0175 2,331 2,331 21,0314475 21,0197925 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-20 9,0315 9,0265 2,323 2,323 20,9801745 20,9685595 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-21 9,0505 9,0455 2,324 2,324 21,033362 21,021742 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-24 9,0655 9,0605 2,329 2,329 21,1135495 21,1019045 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-25 9,0715 9,0665 2,331 2,331 21,1456665 21,1340115 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-26 9,0885 9,0835 2,325 2,325 21,1307625 21,1191375 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-27 9,0675 9,0625 2,321 2,321 21,0456675 21,0340625 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-28 9,0955 9,0905 2,326 2,326 21,156133 21,144503 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-01-31 9,1075 9,1025 2,329 2,329 21,2113675 21,1997225 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-01 9,1035 9,0985 2,33 2,33 21,211155 21,199505 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-02 9,0905 9,0855 2,331 2,331 21,1899555 21,1783005 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-03 9,0695 9,0645 2,326 2,326 21,095657 21,084027 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-04 9,0895 9,0845 2,329 2,329 21,1694455 21,1578005 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-07 9,0755 9,0705 2,333 2,333 21,1731415 21,1614765 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-08 9,0895 9,0845 2,333 2,333 21,2058035 21,1941385 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-09 9,0695 9,0645 2,339 2,339 21,2135605 21,2018655 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-10 9,0805 9,0755 2,342 2,342 21,266531 21,254821 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-11 9,0935 9,0885 2,339 2,339 21,2696965 21,2580015 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-14 9,1105 9,1055 2,335 2,335 21,2730175 21,2613425 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-15 9,0765 9,0715 2,334 2,334 21,184551 21,172881 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-16 9,0705 9,0655 2,335 2,335 21,1796175 21,1679425 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-17 9,0925 9,0875 2,326 2,326 21,149155 21,137525 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-18 9,0945 9,0895 2,324 2,324 21,135618 21,123998 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-21 9,1185 9,1135 2,317 2,317 21,1275645 21,1159795 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-22 9,0975 9,0925 2,316 2,316 21,06981 21,05823 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-23 9,1045 9,0995 2,316 2,316 21,086022 21,074442 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-24 9,0715 9,0665 2,316 2,316 21,009594 20,998014 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-25 9,0845 9,0795 2,315 2,315 21,0306175 21,0190425 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-02-28 9,0505 9,0455 2,318 2,318 20,979059 20,967469 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-01 9,0565 9,0515 2,313 2,313 20,9476845 20,9361195 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-02 9,0645 9,0595 2,313 2,313 20,9661885 20,9546235 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-03 9,0675 9,0625 2,312 2,312 20,96406 20,9525 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-04 9,0415 9,0365 2,314 2,314 20,922031 20,910461 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-07 9,0425 9,0375 2,323 2,323 21,0057275 20,9941125 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-08 9,0345 9,0295 2,323 2,323 20,9871435 20,9755285 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-09 9,0365 9,0315 2,316 2,316 20,928534 20,916954 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-10 9,0655 9,0605 2,313 2,313 20,9685015 20,9569365 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-11 9,0795 9,0745 2,317 2,317 21,0372015 21,0256165 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-14 9,0695 9,0645 2,312 2,312 20,968684 20,957124 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-15 9,1035 9,0985 2,318 2,318 21,101913 21,090323 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-16 9,0975 9,0925 2,316 2,316 21,06981 21,05823 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-17 9,1045 9,0995 2,321 2,321 21,1315445 21,1199395 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-18 9,1035 9,0985 2,318 2,318 21,101913 21,090323 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-21 9,1265 9,1215 2,316 2,316 21,136974 21,125394 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-22 9,1265 9,1215 2,32 2,32 21,17348 21,16188 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-23 9,1165 9,1115 2,316 2,316 21,113814 21,102234 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-24 9,1135 9,1085 2,318 2,318 21,125093 21,113503 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-29 9,1315 9,1265 2,318 2,318 21,166817 21,155227 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-30 9,1425 9,1375 2,323 2,323 21,2380275 21,2264125 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-03-31 9,1405 9,1355 2,327 2,327 21,2699435 21,2583085 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-01 9,1645 9,1595 2,332 2,332 21,371614 21,359954 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-04 9,1695 9,1645 2,334 2,334 21,401613 21,389943 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-05 9,1745 9,1695 2,334 2,334 21,413283 21,401613 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-06 9,1705 9,1655 2,336 2,336 21,422288 21,410608 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-07 9,1505 9,1455 2,337 2,337 21,3847185 21,3730335 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-08 9,1625 9,1575 2,34 2,34 21,44025 21,42855 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-11 9,1705 9,1655 2,341 2,341 21,4681405 21,4564355 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-12 9,1525 9,1475 2,342 2,342 21,435155 21,423445 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-13 9,1495 9,1445 2,344 2,344 21,446428 21,434708 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-14 9,1685 9,1635 2,345 2,345 21,5001325 21,4884075 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-15 9,1925 9,1875 2,351 2,351 21,6115675 21,5998125 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-18 9,1805 9,1755 2,354 2,354 21,610897 21,599127 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-19 9,2035 9,1985 2,351 2,351 21,6374285 21,6256735 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-20 9,1915 9,1865 2,354 2,354 21,636791 21,625021 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-21 9,1855 9,1805 2,354 2,354 21,622667 21,610897 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-22 9,1625 9,1575 2,354 2,354 21,568525 21,556755 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-25 9,1685 9,1635 2,356 2,356 21,600986 21,589206 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-26 9,1375 9,1325 2,358 2,358 21,546225 21,534435 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-27 9,1465 9,1415 2,356 2,356 21,549154 21,537374 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-28 9,1505 9,1455 2,361 2,361 21,6043305 21,5925255 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-04-29 9,1705 9,1655 2,359 2,359 21,6332095 21,6214145 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-02 9,1935 9,1885 2,363 2,363 21,7242405 21,7124255 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-03 9,2245 9,2195 2,365 2,365 21,8159425 21,8041175 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-04 9,1915 9,1865 2,365 2,365 21,7378975 21,7260725 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-06 9,1715 9,1665 2,366 2,366 21,699769 21,687939 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-09 9,1815 9,1765 2,361 2,361 21,6775215 21,6657165 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-10 9,1985 9,1935 2,365 2,365 21,7544525 21,7426275 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-11 9,2105 9,2055 2,37 2,37 21,828885 21,817035 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-12 9,2315 9,2265 2,367 2,367 21,8509605 21,8391255 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-13 9,2045 9,1995 2,37 2,37 21,814665 21,802815 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-16 9,2145 9,2095 2,372 2,372 21,856794 21,844934 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-17 9,2325 9,2275 2,372 2,372 21,89949 21,88763 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-18 9,2095 9,2045 2,374 2,374 21,863353 21,851483 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-19 9,1905 9,1855 2,375 2,375 21,8274375 21,8155625 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-20 9,1955 9,1905 2,372 2,372 21,811726 21,799866 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-23 9,1805 9,1755 2,369 2,369 21,7486045 21,7367595 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-24 9,1815 9,1765 2,38 2,38 21,85197 21,84007 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-25 9,1785 9,1735 2,382 2,382 21,863187 21,851277 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-26 9,1945 9,1895 2,38 2,38 21,88291 21,87101 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-27 9,1955 9,1905 2,38 2,38 21,88529 21,87339 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-30 9,1905 9,1855 2,378 2,378 21,855009 21,843119 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-05-31 9,1665 9,1615 2,382 2,382 21,834603 21,822693 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-01 9,1455 9,1405 2,387 2,387 21,8303085 21,8183735 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-02 9,1565 9,1515 2,394 2,394 21,920661 21,908691 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-03 9,1315 9,1265 2,395 2,395 21,8699425 21,8579675 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-07 9,1455 9,1405 2,398 2,398 21,930909 21,918919 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-08 9,1455 9,1405 2,405 2,405 21,9949275 21,9829025 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-09 9,1965 9,1915 2,402 2,402 22,089993 22,077983 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-10 9,1975 9,1925 2,405 2,405 22,1199875 22,1079625 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-13 9,2365 9,2315 2,398 2,398 22,149127 22,137137 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-14 9,2985 9,2935 2,399 2,399 22,3071015 22,2951065 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-15 9,2695 9,2645 2,394 2,394 22,191183 22,179213 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-16 9,2695 9,2645 2,384 2,384 22,098488 22,086568 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-17 9,2695 9,2645 2,385 2,385 22,1077575 22,0958325 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-20 9,2255 9,2205 2,386 2,386 22,012043 22,000113 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-21 9,2725 9,2675 2,397 2,397 22,2261825 22,2141975 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-22 9,2615 9,2565 2,407 2,407 22,2924305 22,2803955 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-23 9,3535 9,3485 2,406 2,406 22,504521 22,492491 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-27 9,3855 9,3805 2,41 2,41 22,619055 22,607005 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-28 9,3995 9,3945 2,407 2,407 22,6245965 22,6125615 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-29 9,4215 9,4165 2,404 2,404 22,649286 22,637266 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-06-30 9,4415 9,4365 2,409 2,409 22,7445735 22,7325285 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-01 9,4595 9,4545 2,408 2,408 22,778476 22,766436 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-04 9,4795 9,4745 2,404 2,404 22,788718 22,776698 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-05 9,4575 9,4525 2,397 2,397 22,6696275 22,6576425 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-06 9,4195 9,4145 2,399 2,399 22,5973805 22,5853855 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-07 9,3965 9,3915 2,408 2,408 22,626772 22,614732 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-08 9,4175 9,4125 2,403 2,403 22,6302525 22,6182375 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-11 9,4665 9,4615 2,402 2,402 22,738533 22,726523 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-12 9,4645 9,4595 2,398 2,398 22,695871 22,683881 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-13 9,3915 9,3865 2,395 2,395 22,4926425 22,4806675 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-14 9,3675 9,3625 2,393 2,393 22,4164275 22,4044625 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-15 9,4055 9,4005 2,393 2,393 22,5073615 22,4953965 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-18 9,3895 9,3845 2,396 2,396 22,497242 22,485262 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-19 9,4425 9,4375 2,39 2,39 22,567575 22,555625 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-20 9,4265 9,4215 2,391 2,391 22,5387615 22,5268065 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-21 9,4625 9,4575 2,392 2,392 22,6343 22,62234 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-22 9,4495 9,4445 2,397 2,397 22,6504515 22,6384665 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-25 9,4275 9,4225 2,399 2,399 22,6165725 22,6045775 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-26 9,4155 9,4105 2,397 2,397 22,5689535 22,5569685 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-27 9,4725 9,4675 2,401 2,401 22,7434725 22,7314675 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-28 9,4515 9,4465 2,397 2,397 22,6552455 22,6432605 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-07-29 9,3885 9,3835 2,401 2,401 22,5417885 22,5297835 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-01 9,3985 9,3935 2,392 2,392 22,481212 22,469252 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-02 9,3995 9,3945 2,391 2,391 22,4742045 22,4622495 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-03 9,3755 9,3705 2,388 2,388 22,388694 22,376754 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-04 9,3735 9,3685 2,389 2,389 22,3932915 22,3813465 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-05 9,3355 9,3305 2,388 2,388 22,293174 22,281234 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-08 9,3335 9,3285 2,385 2,385 22,2603975 22,2484725 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-09 9,3455 9,3405 2,384 2,384 22,279672 22,267752 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-10 9,3535 9,3485 2,388 2,388 22,336158 22,324218 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-11 9,3365 9,3315 2,386 2,386 22,276889 22,264959 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-12 9,3025 9,2975 2,394 2,394 22,270185 22,258215 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-15 9,3065 9,3015 2,398 2,398 22,316987 22,304997 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-16 9,2995 9,2945 2,397 2,397 22,2909015 22,2789165 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-17 9,3405 9,3355 2,403 2,403 22,4452215 22,4332065 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-18 9,3365 9,3315 2,407 2,407 22,4729555 22,4609205 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-19 9,3395 9,3345 2,41 2,41 22,508195 22,496145 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-22 9,3655 9,3605 2,41 2,41 22,570855 22,558805 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-23 9,3715 9,3665 2,406 2,406 22,547829 22,535799 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-24 9,3365 9,3315 2,41 2,41 22,500965 22,488915 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-25 9,3335 9,3285 2,413 2,413 22,5217355 22,5096705 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-26 9,3415 9,3365 2,412 2,412 22,531698 22,519638 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-29 9,3295 9,3245 2,413 2,413 22,5120835 22,5000185 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-30 9,3285 9,3235 2,409 2,409 22,4723565 22,4603115 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-08-31 9,3585 9,3535 2,415 2,415 22,6007775 22,5887025 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-01 9,3365 9,3315 2,419 2,419 22,5849935 22,5728985 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-02 9,3025 9,2975 2,426 2,426 22,567865 22,555735 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-05 9,2845 9,2795 2,427 2,427 22,5334815 22,5213465 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-06 9,3225 9,3175 2,423 2,423 22,5884175 22,5763025 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-07 9,3075 9,3025 2,424 2,424 22,56138 22,54926 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-08 9,3255 9,3205 2,424 2,424 22,605012 22,592892 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-09 9,3445 9,3395 2,425 2,425 22,6604125 22,6482875 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-12 9,3015 9,2965 2,423 2,423 22,5375345 22,5254195 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-13 9,3015 9,2965 2,418 2,418 22,491027 22,478937 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-14 9,3365 9,3315 2,424 2,424 22,631676 22,619556 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-15 9,3425 9,3375 2,421 2,421 22,6181925 22,6060875 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-16 9,3465 9,3415 2,418 2,418 22,599837 22,587747 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-19 9,3355 9,3305 2,419 2,419 22,5825745 22,5704795 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-20 9,3395 9,3345 2,423 2,423 22,6296085 22,6174935 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-21 9,3405 9,3355 2,426 2,426 22,660053 22,647923 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-22 9,3405 9,3355 2,433 2,433 22,7254365 22,7132715 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-23 9,3695 9,3645 2,426 2,426 22,730407 22,718277 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-26 9,3815 9,3765 2,419 2,419 22,6938485 22,6817535 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-27 9,3885 9,3835 2,418 2,418 22,701393 22,689303 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-28 9,3935 9,3885 2,414 2,414 22,675909 22,663839 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-29 9,3845 9,3795 2,415 2,415 22,6635675 22,6514925 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-09-30 9,3435 9,3385 2,415 2,415 22,5645525 22,5524775 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-03 9,3025 9,2975 2,409 2,409 22,4097225 22,3976775 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-04 9,3185 9,3135 2,41 2,41 22,457585 22,445535 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-05 9,3105 9,3055 2,412 2,412 22,456926 22,444866 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-06 9,3015 9,2965 2,409 2,409 22,4073135 22,3952685 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-07 9,3385 9,3335 2,408 2,408 22,487108 22,475068 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-10 9,3465 9,3415 2,412 2,412 22,543758 22,531698 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-11 9,3395 9,3345 2,411 2,411 22,5175345 22,5054795 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-12 9,3375 9,3325 2,408 2,408 22,4847 22,47266 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-13 9,3815 9,3765 2,401 2,401 22,5249815 22,5129765 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-14 9,4135 9,4085 2,401 2,401 22,6018135 22,5898085 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-17 9,4575 9,4525 2,398 2,398 22,679085 22,667095 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-18 9,4625 9,4575 2,397 2,397 22,6816125 22,6696275 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-19 9,4605 9,4555 2,403 2,403 22,7335815 22,7215665 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-20 9,4935 9,4885 2,398 2,398 22,765413 22,753423 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-21 9,4915 9,4865 2,402 2,402 22,798583 22,786573 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-24 9,5455 9,5405 2,406 2,406 22,966473 22,954443 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-25 9,5465 9,5415 2,399 2,399 22,9020535 22,8900585 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-26 9,4975 9,4925 2,389 2,389 22,6895275 22,6775825 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-27 9,5355 9,5305 2,389 2,389 22,7803095 22,7683645 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-28 9,5135 9,5085 2,388 2,388 22,718238 22,706298 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-10-31 9,5495 9,5445 2,385 2,385 22,7755575 22,7636325 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-01 9,5495 9,5445 2,387 2,387 22,7946565 22,7827215 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-02 9,5855 9,5805 2,379 2,379 22,8039045 22,7920095 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-03 9,6515 9,6465 2,379 2,379 22,9609185 22,9490235 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-04 9,5875 9,5825 2,377 2,377 22,7894875 22,7776025 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-07 9,6075 9,6025 2,375 2,375 22,8178125 22,8059375 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-08 9,5685 9,5635 2,372 2,372 22,696482 22,684622 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-09 9,5575 9,5525 2,375 2,375 22,6990625 22,6871875 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-10 9,6105 9,6055 2,371 2,371 22,7864955 22,7746405 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-11 9,6365 9,6315 2,372 2,372 22,857778 22,845918 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-14 9,5505 9,5455 2,375 2,375 22,6824375 22,6705625 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-15 9,5805 9,5755 2,373 2,373 22,7345265 22,7226615 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-16 9,6235 9,6185 2,377 2,377 22,8750595 22,8631745 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-17 9,6355 9,6305 2,38 2,38 22,93249 22,92059 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-18 9,6085 9,6035 2,379 2,379 22,8586215 22,8467265 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-21 9,5915 9,5865 2,37 2,37 22,731855 22,720005 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-22 9,5585 9,5535 2,374 2,374 22,691879 22,680009 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-23 9,5155 9,5105 2,379 2,379 22,6373745 22,6254795 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-24 9,5125 9,5075 2,385 2,385 22,6873125 22,6753875 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-25 9,4965 9,4915 2,39 2,39 22,696635 22,684685 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-28 9,4835 9,4785 2,385 2,385 22,6181475 22,6062225 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-29 9,4785 9,4735 2,391 2,391 22,6630935 22,6511385 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-11-30 9,5295 9,5245 2,384 2,384 22,718328 22,706408 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-01 9,5165 9,5115 2,388 2,388 22,725402 22,713462 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-02 9,4905 9,4855 2,389 2,389 22,6728045 22,6608595 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-05 9,4065 9,4015 2,387 2,387 22,4533155 22,4413805 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-07 9,4255 9,4205 2,394 2,394 22,564647 22,552677 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-08 9,3965 9,3915 2,394 2,394 22,495221 22,483251 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-12 9,4315 9,4265 2,386 2,386 22,503559 22,491629 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-13 9,4295 9,4245 2,385 2,385 22,4893575 22,4774325 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-14 9,4365 9,4315 2,394 2,394 22,590981 22,579011 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-15 9,4345 9,4295 2,394 2,394 22,586193 22,574223 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-16 9,4765 9,4715 2,394 2,394 22,686741 22,674771 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-19 9,4535 9,4485 2,398 2,398 22,669493 22,657503 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-20 9,4015 9,3965 2,394 2,394 22,507191 22,495221 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-21 9,4485 9,4435 2,392 2,392 22,600812 22,588852 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-22 9,4365 9,4315 2,388 2,388 22,534362 22,522422 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-23 9,4425 9,4375 2,393 2,393 22,5959025 22,5839375 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-27 9,4915 9,4865 2,396 2,396 22,741634 22,729654 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-28 9,4345 9,4295 2,399 2,399 22,6333655 22,6213705 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-29 9,4115 9,4065 2,399 2,399 22,5781885 22,5661935 443721 Seligson & Co Fondbolag Abp Seligson & Co Euro Obligationsindexfond EUR 2005-12-30 9,4325 9,4275 2,402 2,402 22,656865 22,644855 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-03 9,0065 9,0015 1,522 1,522 13,707893 13,700283 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-04 9,0345 9,0295 1,524 1,524 13,768578 13,760958 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-05 9,0615 9,0565 1,517 1,517 13,7462955 13,7387105 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-07 9,0615 9,0565 1,529 1,529 13,8550335 13,8473885 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-10 9,08619 9,08119 1,533 1,533 13,92912927 13,92146427 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-11 9,08619 9,08119 1,523 1,523 13,83826737 13,83065237 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-12 9,0455 9,0405 1,518 1,518 13,731069 13,723479 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-13 9,0505 9,0455 1,505 1,505 13,6210025 13,6134775 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-14 9,0455 9,0405 1,515 1,515 13,7039325 13,6963575 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-17 9,0685 9,0635 1,52 1,52 13,78412 13,77652 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-18 9,0585 9,0535 1,515 1,515 13,7236275 13,7160525 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-19 9,0225 9,0175 1,525 1,525 13,7593125 13,7516875 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-20 9,0315 9,0265 1,516 1,516 13,691754 13,684174 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-21 9,0505 9,0455 1,512 1,512 13,684356 13,676796 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-24 9,0655 9,0605 1,51 1,51 13,688905 13,681355 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-25 9,0715 9,0665 1,521 1,521 13,7977515 13,7901465 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-26 9,0885 9,0835 1,528 1,528 13,887228 13,879588 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-27 9,0675 9,0625 1,532 1,532 13,89141 13,88375 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-28 9,0955 9,0905 1,533 1,533 13,9434015 13,9357365 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-01-31 9,1075 9,1025 1,537 1,537 13,9982275 13,9905425 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-01 9,1035 9,0985 1,54 1,54 14,01939 14,01169 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-02 9,0905 9,0855 1,551 1,551 14,0993655 14,0916105 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-03 9,0695 9,0645 1,551 1,551 14,0667945 14,0590395 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-04 9,0895 9,0845 1,56 1,56 14,17962 14,17182 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-07 9,0755 9,0705 1,575 1,575 14,2939125 14,2860375 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-08 9,0895 9,0845 1,577 1,577 14,3341415 14,3262565 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-09 9,0695 9,0645 1,579 1,579 14,3207405 14,3128455 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-10 9,0805 9,0755 1,578 1,578 14,329029 14,321139 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-11 9,0935 9,0885 1,585 1,585 14,4131975 14,4052725 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-14 9,1105 9,1055 1,592 1,592 14,503916 14,495956 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-15 9,0765 9,0715 1,598 1,598 14,504247 14,496257 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-16 9,0705 9,0655 1,591 1,591 14,4311655 14,4232105 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-17 9,0925 9,0875 1,59 1,59 14,457075 14,449125 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-18 9,0945 9,0895 1,592 1,592 14,478444 14,470484 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-21 9,1185 9,1135 1,592 1,592 14,516652 14,508692 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-22 9,0975 9,0925 1,579 1,579 14,3649525 14,3570575 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-23 9,1045 9,0995 1,567 1,567 14,2667515 14,2589165 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-24 9,0715 9,0665 1,569 1,569 14,2331835 14,2253385 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-25 9,0845 9,0795 1,582 1,582 14,371679 14,363769 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-02-28 9,0505 9,0455 1,586 1,586 14,354093 14,346163 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-01 9,0565 9,0515 1,587 1,587 14,3726655 14,3647305 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-02 9,0645 9,0595 1,588 1,588 14,394426 14,386486 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-03 9,0675 9,0625 1,599 1,599 14,4989325 14,4909375 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-04 9,0415 9,0365 1,6 1,6 14,4664 14,4584 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-07 9,0425 9,0375 1,605 1,605 14,5132125 14,5051875 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-08 9,0345 9,0295 1,6 1,6 14,4552 14,4472 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-09 9,0365 9,0315 1,6 1,6 14,4584 14,4504 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-10 9,0655 9,0605 1,575 1,575 14,2781625 14,2702875 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-11 9,0795 9,0745 1,58 1,58 14,34561 14,33771 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-14 9,0695 9,0645 1,572 1,572 14,257254 14,249394 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-15 9,1035 9,0985 1,585 1,585 14,4290475 14,4211225 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-16 9,0975 9,0925 1,584 1,584 14,41044 14,40252 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-17 9,1045 9,0995 1,567 1,567 14,2667515 14,2589165 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-18 9,1035 9,0985 1,571 1,571 14,3015985 14,2937435 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-21 9,1265 9,1215 1,571 1,571 14,3377315 14,3298765 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-22 9,1265 9,1215 1,56 1,56 14,23734 14,22954 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-23 9,1165 9,1115 1,56 1,56 14,22174 14,21394 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-24 9,1135 9,1085 1,568 1,568 14,289968 14,282128 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-29 9,1315 9,1265 1,568 1,568 14,318192 14,310352 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-30 9,1425 9,1375 1,572 1,572 14,37201 14,36415 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-03-31 9,1405 9,1355 1,576 1,576 14,405428 14,397548 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-01 9,1645 9,1595 1,579 1,579 14,4707455 14,4628505 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-04 9,1695 9,1645 1,564 1,564 14,341098 14,333278 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-05 9,1745 9,1695 1,576 1,576 14,459012 14,451132 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-06 9,1705 9,1655 1,583 1,583 14,5169015 14,5089865 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-07 9,1505 9,1455 1,59 1,59 14,549295 14,541345 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-08 9,1625 9,1575 1,597 1,597 14,6325125 14,6245275 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-11 9,1705 9,1655 1,589 1,589 14,5719245 14,5639795 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-12 9,1525 9,1475 1,586 1,586 14,515865 14,507935 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-13 9,1495 9,1445 1,591 1,591 14,5568545 14,5488995 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-14 9,1685 9,1635 1,59 1,59 14,577915 14,569965 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-15 9,1925 9,1875 1,574 1,574 14,468995 14,461125 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-18 9,1805 9,1755 1,54 1,54 14,13797 14,13027 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-19 9,2035 9,1985 1,553 1,553 14,2930355 14,2852705 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-20 9,1915 9,1865 1,553 1,553 14,2743995 14,2666345 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-21 9,1855 9,1805 1,544 1,544 14,182412 14,174692 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-22 9,1625 9,1575 1,551 1,551 14,2110375 14,2032825 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-25 9,1685 9,1635 1,556 1,556 14,266186 14,258406 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-26 9,1375 9,1325 1,554 1,554 14,199675 14,191905 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-27 9,1465 9,1415 1,549 1,549 14,1679285 14,1601835 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-28 9,1505 9,1455 1,548 1,548 14,164974 14,157234 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-04-29 9,1705 9,1655 1,554 1,554 14,250957 14,243187 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-02 9,1935 9,1885 1,56 1,56 14,34186 14,33406 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-03 9,2245 9,2195 1,564 1,564 14,427118 14,419298 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-04 9,1915 9,1865 1,564 1,564 14,375506 14,367686 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-06 9,1715 9,1665 1,581 1,581 14,5001415 14,4922365 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-09 9,1815 9,1765 1,582 1,582 14,525133 14,517223 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-10 9,1985 9,1935 1,577 1,577 14,5060345 14,4981495 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-11 9,2105 9,2055 1,57 1,57 14,460485 14,452635 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-12 9,2315 9,2265 1,576 1,576 14,548844 14,540964 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-13 9,2045 9,1995 1,573 1,573 14,4786785 14,4708135 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-16 9,2145 9,2095 1,571 1,571 14,4759795 14,4681245 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-17 9,2325 9,2275 1,571 1,571 14,5042575 14,4964025 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-18 9,2095 9,2045 1,585 1,585 14,5970575 14,5891325 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-19 9,1905 9,1855 1,598 1,598 14,686419 14,678429 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-20 9,1955 9,1905 1,605 1,605 14,7587775 14,7507525 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-23 9,1805 9,1755 1,61 1,61 14,780605 14,772555 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-24 9,1815 9,1765 1,609 1,609 14,7730335 14,7649885 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-25 9,1785 9,1735 1,611 1,611 14,7865635 14,7785085 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-26 9,1945 9,1895 1,617 1,617 14,8675065 14,8594215 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-27 9,1955 9,1905 1,614 1,614 14,841537 14,833467 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-30 9,1905 9,1855 1,622 1,622 14,906991 14,898881 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-05-31 9,1665 9,1615 1,629 1,629 14,9322285 14,9240835 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-01 9,1455 9,1405 1,637 1,637 14,9711835 14,9629985 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-02 9,1565 9,1515 1,651 1,651 15,1173815 15,1091265 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-03 9,1315 9,1265 1,648 1,648 15,048712 15,040472 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-07 9,1455 9,1405 1,651 1,651 15,0992205 15,0909655 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-08 9,1455 9,1405 1,656 1,656 15,144948 15,136668 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-09 9,1965 9,1915 1,651 1,651 15,1834215 15,1751665 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-10 9,1975 9,1925 1,668 1,668 15,34143 15,33309 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-13 9,2365 9,2315 1,666 1,666 15,388009 15,379679 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-14 9,2985 9,2935 1,669 1,669 15,5191965 15,5108515 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-15 9,2695 9,2645 1,674 1,674 15,517143 15,508773 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-16 9,2695 9,2645 1,675 1,675 15,5264125 15,5180375 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-17 9,2695 9,2645 1,685 1,685 15,6191075 15,6106825 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-20 9,2255 9,2205 1,674 1,674 15,443487 15,435117 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-21 9,2725 9,2675 1,687 1,687 15,6427075 15,6342725 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-22 9,2615 9,2565 1,697 1,697 15,7167655 15,7082805 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-23 9,3535 9,3485 1,701 1,701 15,9103035 15,9017985 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-27 9,3855 9,3805 1,672 1,672 15,692556 15,684196 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-28 9,3995 9,3945 1,681 1,681 15,8005595 15,7921545 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-29 9,4215 9,4165 1,689 1,689 15,9129135 15,9044685 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-06-30 9,4415 9,4365 1,689 1,689 15,9466935 15,9382485 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-01 9,4595 9,4545 1,687 1,687 15,9581765 15,9497415 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-04 9,4795 9,4745 1,704 1,704 16,153068 16,144548 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-05 9,4575 9,4525 1,699 1,699 16,0682925 16,0597975 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-06 9,4195 9,4145 1,715 1,715 16,1544425 16,1458675 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-07 9,3965 9,3915 1,66 1,66 15,59819 15,58989 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-08 9,4175 9,4125 1,7 1,7 16,00975 16,00125 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-11 9,4665 9,4615 1,71 1,71 16,187715 16,179165 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-12 9,4645 9,4595 1,704 1,704 16,127508 16,118988 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-13 9,3915 9,3865 1,711 1,711 16,0688565 16,0603015 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-14 9,3675 9,3625 1,73 1,73 16,205775 16,197125 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-15 9,4055 9,4005 1,722 1,722 16,196271 16,187661 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-18 9,3895 9,3845 1,721 1,721 16,1593295 16,1507245 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-19 9,4425 9,4375 1,721 1,721 16,2505425 16,2419375 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-20 9,4265 9,4215 1,718 1,718 16,194727 16,186137 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-21 9,4625 9,4575 1,723 1,723 16,3038875 16,2952725 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-22 9,4495 9,4445 1,706 1,706 16,120847 16,112317 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-25 9,4275 9,4225 1,719 1,719 16,2058725 16,1972775 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-26 9,4155 9,4105 1,73 1,73 16,288815 16,280165 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-27 9,4725 9,4675 1,728 1,728 16,36848 16,35984 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-28 9,4515 9,4465 1,736 1,736 16,407804 16,399124 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-07-29 9,3885 9,3835 1,746 1,746 16,392321 16,383591 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-01 9,3985 9,3935 1,739 1,739 16,3439915 16,3352965 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-02 9,3995 9,3945 1,746 1,746 16,411527 16,402797 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-03 9,3755 9,3705 1,75 1,75 16,407125 16,398375 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-04 9,3735 9,3685 1,738 1,738 16,291143 16,282453 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-05 9,3355 9,3305 1,738 1,738 16,225099 16,216409 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-08 9,3335 9,3285 1,741 1,741 16,2496235 16,2409185 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-09 9,3455 9,3405 1,736 1,736 16,223788 16,215108 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-10 9,3535 9,3485 1,759 1,759 16,4528065 16,4440115 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-11 9,3365 9,3315 1,756 1,756 16,394894 16,386114 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-12 9,3025 9,2975 1,754 1,754 16,316585 16,307815 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-15 9,3065 9,3015 1,759 1,759 16,3701335 16,3613385 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-16 9,2995 9,2945 1,761 1,761 16,3764195 16,3676145 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-17 9,3405 9,3355 1,747 1,747 16,3178535 16,3091185 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-18 9,3365 9,3315 1,742 1,742 16,264183 16,255473 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-19 9,3395 9,3345 1,751 1,751 16,3534645 16,3447095 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-22 9,3655 9,3605 1,76 1,76 16,48328 16,47448 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-23 9,3715 9,3665 1,746 1,746 16,362639 16,353909 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-24 9,3365 9,3315 1,735 1,735 16,1988275 16,1901525 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-25 9,3335 9,3285 1,724 1,724 16,090954 16,082334 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-26 9,3415 9,3365 1,728 1,728 16,142112 16,133472 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-29 9,3295 9,3245 1,705 1,705 15,9067975 15,8982725 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-30 9,3285 9,3235 1,721 1,721 16,0543485 16,0457435 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-08-31 9,3585 9,3535 1,729 1,729 16,1808465 16,1722015 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-01 9,3365 9,3315 1,743 1,743 16,2735195 16,2648045 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-02 9,3025 9,2975 1,738 1,738 16,167745 16,159055 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-05 9,2845 9,2795 1,744 1,744 16,192168 16,183448 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-06 9,3225 9,3175 1,762 1,762 16,426245 16,417435 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-07 9,3075 9,3025 1,77 1,77 16,474275 16,465425 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-08 9,3255 9,3205 1,771 1,771 16,5154605 16,5066055 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-09 9,3445 9,3395 1,773 1,773 16,5677985 16,5589335 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-12 9,3015 9,2965 1,778 1,778 16,538067 16,529177 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-13 9,3015 9,2965 1,769 1,769 16,4543535 16,4455085 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-14 9,3365 9,3315 1,77 1,77 16,525605 16,516755 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-15 9,3425 9,3375 1,78 1,78 16,62965 16,62075 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-16 9,3465 9,3415 1,788 1,788 16,711542 16,702602 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-19 9,3355 9,3305 1,793 1,793 16,7385515 16,7295865 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-20 9,3395 9,3345 1,796 1,796 16,773742 16,764762 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-21 9,3405 9,3355 1,777 1,777 16,5980685 16,5891835 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-22 9,3405 9,3355 1,762 1,762 16,457961 16,449151 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-23 9,3695 9,3645 1,776 1,776 16,640232 16,631352 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-26 9,3815 9,3765 1,797 1,797 16,8585555 16,8495705 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-27 9,3885 9,3835 1,799 1,799 16,8899115 16,8809165 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-28 9,3935 9,3885 1,809 1,809 16,9928415 16,9837965 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-29 9,3845 9,3795 1,81 1,81 16,985945 16,976895 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-09-30 9,3435 9,3385 1,812 1,812 16,930422 16,921362 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-03 9,3025 9,2975 1,827 1,827 16,9956675 16,9865325 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-04 9,3185 9,3135 1,829 1,829 17,0435365 17,0343915 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-05 9,3105 9,3055 1,816 1,816 16,907868 16,898788 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-06 9,3015 9,2965 1,784 1,784 16,593876 16,584956 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-07 9,3385 9,3335 1,779 1,779 16,6131915 16,6042965 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-10 9,3465 9,3415 1,791 1,791 16,7395815 16,7306265 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-11 9,3395 9,3345 1,795 1,795 16,7644025 16,7554275 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-12 9,3375 9,3325 1,783 1,783 16,6487625 16,6398475 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-13 9,3815 9,3765 1,763 1,763 16,5395845 16,5307695 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-14 9,4135 9,4085 1,757 1,757 16,5395195 16,5307345 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-17 9,4575 9,4525 1,765 1,765 16,6924875 16,6836625 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-18 9,4625 9,4575 1,771 1,771 16,7580875 16,7492325 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-19 9,4605 9,4555 1,737 1,737 16,4328885 16,4242035 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-20 9,4935 9,4885 1,757 1,757 16,6800795 16,6712945 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-21 9,4915 9,4865 1,736 1,736 16,477244 16,468564 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-24 9,5455 9,5405 1,752 1,752 16,723716 16,714956 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-25 9,5465 9,5415 1,755 1,755 16,7541075 16,7453325 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-26 9,4975 9,4925 1,761 1,761 16,7250975 16,7162925 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-27 9,5355 9,5305 1,747 1,747 16,6585185 16,6497835 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-28 9,5135 9,5085 1,732 1,732 16,477382 16,468722 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-10-31 9,5495 9,5445 1,769 1,769 16,8930655 16,8842205 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-01 9,5495 9,5445 1,78 1,78 16,99811 16,98921 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-02 9,5855 9,5805 1,78 1,78 17,06219 17,05329 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-03 9,6515 9,6465 1,797 1,797 17,3437455 17,3347605 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-04 9,5875 9,5825 1,814 1,814 17,391725 17,382655 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-07 9,6075 9,6025 1,81 1,81 17,389575 17,380525 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-08 9,5685 9,5635 1,822 1,822 17,433807 17,424697 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-09 9,5575 9,5525 1,816 1,816 17,35642 17,34734 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-10 9,6105 9,6055 1,819 1,819 17,4814995 17,4724045 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-11 9,6365 9,6315 1,829 1,829 17,6251585 17,6160135 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-14 9,5505 9,5455 1,835 1,835 17,5251675 17,5159925 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-15 9,5805 9,5755 1,823 1,823 17,4652515 17,4561365 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-16 9,6235 9,6185 1,805 1,805 17,3704175 17,3613925 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-17 9,6355 9,6305 1,825 1,825 17,5847875 17,5756625 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-18 9,6085 9,6035 1,835 1,835 17,6315975 17,6224225 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-21 9,5915 9,5865 1,824 1,824 17,494896 17,485776 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-22 9,5585 9,5535 1,839 1,839 17,5780815 17,5688865 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-23 9,5155 9,5105 1,84 1,84 17,50852 17,49932 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-24 9,5125 9,5075 1,839 1,839 17,4934875 17,4842925 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-25 9,4965 9,4915 1,845 1,845 17,5210425 17,5118175 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-28 9,4835 9,4785 1,85 1,85 17,544475 17,535225 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-29 9,4785 9,4735 1,826 1,826 17,307741 17,298611 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-11-30 9,5295 9,5245 1,82 1,82 17,34369 17,33459 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-01 9,5165 9,5115 1,831 1,831 17,4247115 17,4155565 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-02 9,4905 9,4855 1,856 1,856 17,614368 17,605088 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-05 9,4065 9,4015 1,858 1,858 17,477277 17,467987 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-07 9,4255 9,4205 1,876 1,876 17,682238 17,672858 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-08 9,3965 9,3915 1,855 1,855 17,4305075 17,4212325 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-12 9,4315 9,4265 1,87 1,87 17,636905 17,627555 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-13 9,4295 9,4245 1,862 1,862 17,557729 17,548419 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-14 9,4365 9,4315 1,857 1,857 17,5235805 17,5142955 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-15 9,4345 9,4295 1,849 1,849 17,4443905 17,4351455 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-16 9,4765 9,4715 1,863 1,863 17,6547195 17,6454045 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-19 9,4535 9,4485 1,859 1,859 17,5740565 17,5647615 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-20 9,4015 9,3965 1,858 1,858 17,467987 17,458697 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-21 9,4485 9,4435 1,872 1,872 17,687592 17,678232 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-22 9,4365 9,4315 1,867 1,867 17,6179455 17,6086105 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-23 9,4425 9,4375 1,867 1,867 17,6291475 17,6198125 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-27 9,4915 9,4865 1,872 1,872 17,768088 17,758728 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-28 9,4345 9,4295 1,872 1,872 17,661384 17,652024 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-29 9,4115 9,4065 1,877 1,877 17,6653855 17,6560005 515387 Seligson & Co Fondbolag Abp Seligson & Co Europa 50-indexfond EUR 2005-12-30 9,4325 9,4275 1,864 1,864 17,58218 17,57286 133298 Seligson & Co Fondbolag Abp Seligson & Co Finland- Indexfond EUR 2005-12-29 9,4115 9,4065 3,234 3,234 30,436791 30,420621 133298 Seligson & Co Fondbolag Abp Seligson & Co Finland- Indexfond EUR 2005-12-30 9,4325 9,4275 3,232 3,232 30,48584 30,46968 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-03 9,0065 9,0015 2,008 2,008 18,085052 18,075012 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-04 9,0345 9,0295 2,007 2,007 18,1322415 18,1222065 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-05 9,0615 9,0565 2,017 2,017 18,2770455 18,2669605 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-07 9,0615 9,0565 2,021 2,021 18,3132915 18,3031865 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-10 9,08619 9,08119 2,034 2,034 18,48131046 18,47114046 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-11 9,08619 9,08119 2,035 2,035 18,49039665 18,48022165 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-12 9,0455 9,0405 2,024 2,024 18,308092 18,297972 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-13 9,0505 9,0455 2,015 2,015 18,2367575 18,2266825 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-14 9,0455 9,0405 2,016 2,016 18,235728 18,225648 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-17 9,0685 9,0635 2,028 2,028 18,390918 18,380778 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-18 9,0585 9,0535 2,037 2,037 18,4521645 18,4419795 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-19 9,0225 9,0175 2,045 2,045 18,4510125 18,4407875 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-20 9,0315 9,0265 2,037 2,037 18,3971655 18,3869805 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-21 9,0505 9,0455 2,031 2,031 18,3815655 18,3714105 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-24 9,0655 9,0605 2,005 2,005 18,1763275 18,1663025 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-25 9,0715 9,0665 2,011 2,011 18,2427865 18,2327315 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-26 9,0885 9,0835 2,03 2,03 18,449655 18,439505 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-27 9,0675 9,0625 2,017 2,017 18,2891475 18,2790625 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-28 9,0955 9,0905 2,034 2,034 18,500247 18,490077 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-01-31 9,1075 9,1025 2,057 2,057 18,7341275 18,7238425 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-01 9,1035 9,0985 2,062 2,062 18,771417 18,761107 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-02 9,0905 9,0855 2,069 2,069 18,8082445 18,7978995 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-03 9,0695 9,0645 2,078 2,078 18,846421 18,836031 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-04 9,0895 9,0845 2,08 2,08 18,90616 18,89576 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-07 9,0755 9,0705 2,109 2,109 19,1402295 19,1296845 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-08 9,0895 9,0845 2,122 2,122 19,287919 19,277309 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-09 9,0695 9,0645 2,115 2,115 19,1819925 19,1714175 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-10 9,0805 9,0755 2,094 2,094 19,014567 19,004097 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-11 9,0935 9,0885 2,093 2,093 19,0326955 19,0222305 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-14 9,1105 9,1055 2,105 2,105 19,1776025 19,1670775 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-15 9,0765 9,0715 2,103 2,103 19,0878795 19,0773645 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-16 9,0705 9,0655 2,107 2,107 19,1115435 19,1010085 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-17 9,0925 9,0875 2,094 2,094 19,039695 19,029225 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-18 9,0945 9,0895 2,082 2,082 18,934749 18,924339 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-21 9,1185 9,1135 2,085 2,085 19,0120725 19,0016475 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-22 9,0975 9,0925 2,073 2,073 18,8591175 18,8487525 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-23 9,1045 9,0995 2,046 2,046 18,627807 18,617577 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-24 9,0715 9,0665 2,049 2,049 18,5875035 18,5772585 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-25 9,0845 9,0795 2,059 2,059 18,7049855 18,6946905 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-02-28 9,0505 9,0455 2,065 2,065 18,6892825 18,6789575 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-01 9,0565 9,0515 2,065 2,065 18,7016725 18,6913475 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-02 9,0645 9,0595 2,088 2,088 18,926676 18,916236 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-03 9,0675 9,0625 2,092 2,092 18,96921 18,95875 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-04 9,0415 9,0365 2,092 2,092 18,914818 18,904358 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-07 9,0425 9,0375 2,088 2,088 18,88074 18,8703 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-08 9,0345 9,0295 2,093 2,093 18,9092085 18,8987435 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-09 9,0365 9,0315 2,068 2,068 18,687482 18,677142 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-10 9,0655 9,0605 2,043 2,043 18,5208165 18,5106015 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-11 9,0795 9,0745 2,051 2,051 18,6220545 18,6117995 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-14 9,0695 9,0645 2,038 2,038 18,483641 18,473451 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-15 9,1035 9,0985 2,055 2,055 18,7076925 18,6974175 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-16 9,0975 9,0925 2,06 2,06 18,74085 18,73055 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-17 9,1045 9,0995 2,036 2,036 18,536762 18,526582 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-18 9,1035 9,0985 2,038 2,038 18,552933 18,542743 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-21 9,1265 9,1215 2,051 2,051 18,7184515 18,7081965 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-22 9,1265 9,1215 2,053 2,053 18,7367045 18,7264395 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-23 9,1165 9,1115 2,049 2,049 18,6797085 18,6694635 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-24 9,1135 9,1085 2,059 2,059 18,7646965 18,7544015 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-29 9,1315 9,1265 2,08 2,08 18,99352 18,98312 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-30 9,1425 9,1375 2,061 2,061 18,8426925 18,8323875 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-03-31 9,1405 9,1355 2,091 2,091 19,1127855 19,1023305 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-01 9,1645 9,1595 2,085 2,085 19,1079825 19,0975575 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-04 9,1695 9,1645 2,077 2,077 19,0450515 19,0346665 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-05 9,1745 9,1695 2,088 2,088 19,156356 19,145916 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-06 9,1705 9,1655 2,095 2,095 19,2121975 19,2017225 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-07 9,1505 9,1455 2,092 2,092 19,142846 19,132386 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-08 9,1625 9,1575 2,116 2,116 19,38785 19,37727 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-11 9,1705 9,1655 2,098 2,098 19,239709 19,229219 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-12 9,1525 9,1475 2,087 2,087 19,1012675 19,0908325 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-13 9,1495 9,1445 2,098 2,098 19,195651 19,185161 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-14 9,1685 9,1635 2,08 2,08 19,07048 19,06008 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-15 9,1925 9,1875 2,076 2,076 19,08363 19,07325 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-18 9,1805 9,1755 2,031 2,031 18,6455955 18,6354405 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-19 9,2035 9,1985 2,002 2,002 18,425407 18,415397 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-20 9,1915 9,1865 2,01 2,01 18,474915 18,464865 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-21 9,1855 9,1805 1,984 1,984 18,224032 18,214112 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-22 9,1625 9,1575 2,017 2,017 18,4807625 18,4706775 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-25 9,1685 9,1635 2,011 2,011 18,4378535 18,4277985 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-26 9,1375 9,1325 2,023 2,023 18,4851625 18,4750475 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-27 9,1465 9,1415 2,02 2,02 18,47593 18,46583 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-28 9,1505 9,1455 2,02 2,02 18,48401 18,47391 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-04-29 9,1705 9,1655 2,004 2,004 18,377682 18,367662 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-02 9,1935 9,1885 2,028 2,028 18,644418 18,634278 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-03 9,2245 9,2195 2,041 2,041 18,8272045 18,8169995 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-04 9,1915 9,1865 2,033 2,033 18,6863195 18,6761545 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-06 9,1715 9,1665 2,053 2,053 18,8290895 18,8188245 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-09 9,1815 9,1765 2,076 2,076 19,060794 19,050414 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-10 9,1985 9,1935 2,08 2,08 19,13288 19,12248 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-11 9,2105 9,2055 2,063 2,063 19,0012615 18,9909465 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-12 9,2315 9,2265 2,075 2,075 19,1553625 19,1449875 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-13 9,2045 9,1995 2,088 2,088 19,218996 19,208556 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-16 9,2145 9,2095 2,091 2,091 19,2675195 19,2570645 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-17 9,2325 9,2275 2,099 2,099 19,3790175 19,3685225 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-18 9,2095 9,2045 2,113 2,113 19,4596735 19,4491085 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-19 9,1905 9,1855 2,133 2,133 19,6033365 19,5926715 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-20 9,1955 9,1905 2,148 2,148 19,751934 19,741194 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-23 9,1805 9,1755 2,156 2,156 19,793158 19,782378 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-24 9,1815 9,1765 2,163 2,163 19,8595845 19,8487695 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-25 9,1785 9,1735 2,157 2,157 19,7980245 19,7872395 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-26 9,1945 9,1895 2,15 2,15 19,768175 19,757425 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-27 9,1955 9,1905 2,169 2,169 19,9450395 19,9341945 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-30 9,1905 9,1855 2,17 2,17 19,943385 19,932535 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-05-31 9,1665 9,1615 2,186 2,186 20,037969 20,027039 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-01 9,1455 9,1405 2,175 2,175 19,8914625 19,8805875 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-02 9,1565 9,1515 2,214 2,214 20,272491 20,261421 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-03 9,1315 9,1265 2,204 2,204 20,125826 20,114806 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-07 9,1455 9,1405 2,186 2,186 19,992063 19,981133 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-08 9,1455 9,1405 2,188 2,188 20,010354 19,999414 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-09 9,1965 9,1915 2,194 2,194 20,177121 20,166151 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-10 9,1975 9,1925 2,194 2,194 20,179315 20,168345 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-13 9,2365 9,2315 2,211 2,211 20,4219015 20,4108465 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-14 9,2985 9,2935 2,208 2,208 20,531088 20,520048 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-15 9,2695 9,2645 2,219 2,219 20,5690205 20,5579255 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-16 9,2695 9,2645 2,206 2,206 20,448517 20,437487 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-17 9,2695 9,2645 2,205 2,205 20,4392475 20,4282225 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-20 9,2255 9,2205 2,192 2,192 20,222296 20,211336 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-21 9,2725 9,2675 2,193 2,193 20,3345925 20,3236275 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-22 9,2615 9,2565 2,196 2,196 20,338254 20,327274 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-23 9,3535 9,3485 2,211 2,211 20,6805885 20,6695335 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-27 9,3855 9,3805 2,169 2,169 20,3571495 20,3463045 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-28 9,3995 9,3945 2,151 2,151 20,2183245 20,2075695 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-29 9,4215 9,4165 2,182 2,182 20,557713 20,546803 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-06-30 9,4415 9,4365 2,172 2,172 20,506938 20,496078 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-01 9,4595 9,4545 2,164 2,164 20,470358 20,459538 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-04 9,4795 9,4745 2,187 2,187 20,7316665 20,7207315 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-05 9,4575 9,4525 2,191 2,191 20,7213825 20,7104275 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-06 9,4195 9,4145 2,19 2,19 20,628705 20,617755 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-07 9,3965 9,3915 2,183 2,183 20,5125595 20,5016445 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-08 9,4175 9,4125 2,173 2,173 20,4642275 20,4533625 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-11 9,4665 9,4615 2,203 2,203 20,8546995 20,8436845 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-12 9,4645 9,4595 2,2 2,2 20,8219 20,8109 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-13 9,3915 9,3865 2,2 2,2 20,6613 20,6503 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-14 9,3675 9,3625 2,228 2,228 20,87079 20,85965 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-15 9,4055 9,4005 2,238 2,238 21,049509 21,038319 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-18 9,3895 9,3845 2,257 2,257 21,1921015 21,1808165 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-19 9,4425 9,4375 2,258 2,258 21,321165 21,309875 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-20 9,4265 9,4215 2,273 2,273 21,4264345 21,4150695 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-21 9,4625 9,4575 2,265 2,265 21,4325625 21,4212375 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-22 9,4495 9,4445 2,245 2,245 21,2141275 21,2029025 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-25 9,4275 9,4225 2,255 2,255 21,2590125 21,2477375 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-26 9,4155 9,4105 2,242 2,242 21,109551 21,098341 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-27 9,4725 9,4675 2,252 2,252 21,33207 21,32081 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-28 9,4515 9,4465 2,249 2,249 21,2564235 21,2451785 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-07-29 9,3885 9,3835 2,252 2,252 21,142902 21,131642 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-01 9,3985 9,3935 2,232 2,232 20,977452 20,966292 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-02 9,3995 9,3945 2,229 2,229 20,9514855 20,9403405 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-03 9,3755 9,3705 2,251 2,251 21,1042505 21,0929955 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-04 9,3735 9,3685 2,228 2,228 20,884158 20,873018 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-05 9,3355 9,3305 2,209 2,209 20,6221195 20,6110745 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-08 9,3335 9,3285 2,207 2,207 20,5990345 20,5879995 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-09 9,3455 9,3405 2,198 2,198 20,541409 20,530419 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-10 9,3535 9,3485 2,217 2,217 20,7367095 20,7256245 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-11 9,3365 9,3315 2,217 2,217 20,6990205 20,6879355 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-12 9,3025 9,2975 2,22 2,22 20,65155 20,64045 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-15 9,3065 9,3015 2,208 2,208 20,548752 20,537712 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-16 9,2995 9,2945 2,221 2,221 20,6541895 20,6430845 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-17 9,3405 9,3355 2,206 2,206 20,605143 20,594113 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-18 9,3365 9,3315 2,215 2,215 20,6803475 20,6692725 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-19 9,3395 9,3345 2,23 2,23 20,827085 20,815935 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-22 9,3655 9,3605 2,239 2,239 20,9693545 20,9581595 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-23 9,3715 9,3665 2,237 2,237 20,9640455 20,9528605 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-24 9,3365 9,3315 2,232 2,232 20,839068 20,827908 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-25 9,3335 9,3285 2,204 2,204 20,571034 20,560014 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-26 9,3415 9,3365 2,201 2,201 20,5606415 20,5496365 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-29 9,3295 9,3245 2,191 2,191 20,4409345 20,4299795 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-30 9,3285 9,3235 2,213 2,213 20,6439705 20,6329055 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-08-31 9,3585 9,3535 2,202 2,202 20,607417 20,596407 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-01 9,3365 9,3315 2,211 2,211 20,6430015 20,6319465 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-02 9,3025 9,2975 2,186 2,186 20,335265 20,324335 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-05 9,2845 9,2795 2,172 2,172 20,165934 20,155074 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-06 9,3225 9,3175 2,186 2,186 20,378985 20,368055 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-07 9,3075 9,3025 2,223 2,223 20,6905725 20,6794575 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-08 9,3255 9,3205 2,24 2,24 20,88912 20,87792 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-09 9,3445 9,3395 2,23 2,23 20,838235 20,827085 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-12 9,3015 9,2965 2,258 2,258 21,002787 20,991497 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-13 9,3015 9,2965 2,263 2,263 21,0492945 21,0379795 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-14 9,3365 9,3315 2,249 2,249 20,9977885 20,9865435 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-15 9,3425 9,3375 2,244 2,244 20,96457 20,95335 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-16 9,3465 9,3415 2,246 2,246 20,992239 20,981009 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-19 9,3355 9,3305 2,288 2,288 21,359624 21,348184 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-20 9,3395 9,3345 2,278 2,278 21,275381 21,263991 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-21 9,3405 9,3355 2,262 2,262 21,128211 21,116901 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-22 9,3405 9,3355 2,227 2,227 20,8012935 20,7901585 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-23 9,3695 9,3645 2,242 2,242 21,006419 20,995209 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-26 9,3815 9,3765 2,261 2,261 21,2115715 21,2002665 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-27 9,3885 9,3835 2,277 2,277 21,3776145 21,3662295 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-28 9,3935 9,3885 2,276 2,276 21,379606 21,368226 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-29 9,3845 9,3795 2,286 2,286 21,452967 21,441537 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-09-30 9,3435 9,3385 2,298 2,298 21,471363 21,459873 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-03 9,3025 9,2975 2,32 2,32 21,5818 21,5702 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-04 9,3185 9,3135 2,335 2,335 21,7586975 21,7470225 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-05 9,3105 9,3055 2,336 2,336 21,749328 21,737648 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-06 9,3015 9,2965 2,294 2,294 21,337641 21,326171 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-07 9,3385 9,3335 2,257 2,257 21,0769945 21,0657095 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-10 9,3465 9,3415 2,257 2,257 21,0950505 21,0837655 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-11 9,3395 9,3345 2,262 2,262 21,125949 21,114639 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-12 9,3375 9,3325 2,273 2,273 21,2241375 21,2127725 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-13 9,3815 9,3765 2,257 2,257 21,1740455 21,1627605 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-14 9,4135 9,4085 2,252 2,252 21,199202 21,187942 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-17 9,4575 9,4525 2,255 2,255 21,3266625 21,3153875 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-18 9,4625 9,4575 2,27 2,27 21,479875 21,468525 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-19 9,4605 9,4555 2,265 2,265 21,4280325 21,4167075 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-20 9,4935 9,4885 2,265 2,265 21,5027775 21,4914525 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-21 9,4915 9,4865 2,241 2,241 21,2704515 21,2592465 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-24 9,5455 9,5405 2,248 2,248 21,458284 21,447044 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-25 9,5465 9,5415 2,267 2,267 21,6419155 21,6305805 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-26 9,4975 9,4925 2,243 2,243 21,3028925 21,2916775 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-27 9,5355 9,5305 2,24 2,24 21,35952 21,34832 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-28 9,5135 9,5085 2,21 2,21 21,024835 21,013785 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-10-31 9,5495 9,5445 2,238 2,238 21,371781 21,360591 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-01 9,5495 9,5445 2,266 2,266 21,639167 21,627837 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-02 9,5855 9,5805 2,252 2,252 21,586546 21,575286 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-03 9,6515 9,6465 2,263 2,263 21,8413445 21,8300295 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-04 9,5875 9,5825 2,291 2,291 21,9649625 21,9535075 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-07 9,6075 9,6025 2,307 2,307 22,1645025 22,1529675 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-08 9,5685 9,5635 2,331 2,331 22,3041735 22,2925185 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-09 9,5575 9,5525 2,321 2,321 22,1829575 22,1713525 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-10 9,6105 9,6055 2,328 2,328 22,373244 22,361604 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-11 9,6365 9,6315 2,351 2,351 22,6554115 22,6436565 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-14 9,5505 9,5455 2,356 2,356 22,500978 22,489198 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-15 9,5805 9,5755 2,367 2,367 22,6770435 22,6652085 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-16 9,6235 9,6185 2,356 2,356 22,672966 22,661186 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-17 9,6355 9,6305 2,351 2,351 22,6530605 22,6413055 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-18 9,6085 9,6035 2,358 2,358 22,656843 22,645053 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-21 9,5915 9,5865 2,355 2,355 22,5879825 22,5762075 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-22 9,5585 9,5535 2,367 2,367 22,6249695 22,6131345 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-23 9,5155 9,5105 2,354 2,354 22,399487 22,387717 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-24 9,5125 9,5075 2,374 2,374 22,582675 22,570805 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-25 9,4965 9,4915 2,378 2,378 22,582677 22,570787 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-28 9,4835 9,4785 2,391 2,391 22,6750485 22,6630935 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-29 9,4785 9,4735 2,373 2,373 22,4924805 22,4806155 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-11-30 9,5295 9,5245 2,379 2,379 22,6706805 22,6587855 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-01 9,5165 9,5115 2,365 2,365 22,5065225 22,4946975 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-02 9,4905 9,4855 2,394 2,394 22,720257 22,708287 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-05 9,4065 9,4015 2,4 2,4 22,5756 22,5636 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-07 9,4255 9,4205 2,393 2,393 22,5552215 22,5432565 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-08 9,3965 9,3915 2,394 2,394 22,495221 22,483251 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-12 9,4315 9,4265 2,373 2,373 22,3809495 22,3690845 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-13 9,4295 9,4245 2,359 2,359 22,2441905 22,2323955 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-14 9,4365 9,4315 2,361 2,361 22,2795765 22,2677715 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-15 9,4345 9,4295 2,369 2,369 22,3503305 22,3384855 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-16 9,4765 9,4715 2,362 2,362 22,383493 22,371683 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-19 9,4535 9,4485 2,35 2,35 22,215725 22,203975 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-20 9,4015 9,3965 2,345 2,345 22,0465175 22,0347925 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-21 9,4485 9,4435 2,355 2,355 22,2512175 22,2394425 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-22 9,4365 9,4315 2,364 2,364 22,307886 22,296066 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-23 9,4425 9,4375 2,367 2,367 22,3503975 22,3385625 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-27 9,4915 9,4865 2,373 2,373 22,5233295 22,5114645 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-28 9,4345 9,4295 2,36 2,36 22,26542 22,25362 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-29 9,4115 9,4065 2,367 2,367 22,2770205 22,2651855 479550 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Brands EUR 2005-12-30 9,4325 9,4275 2,367 2,367 22,3267275 22,3148925 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-03 9,0065 9,0015 7,781 7,781 70,0795765 70,0406715 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-04 9,0345 9,0295 7,779 7,779 70,2793755 70,2404805 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-05 9,0615 9,0565 7,763 7,763 70,3444245 70,3056095 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-07 9,0615 9,0565 7,798 7,798 70,661577 70,622587 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-10 9,08619 9,08119 7,855 7,855 71,37202245 71,33274745 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-11 9,08619 9,08119 7,873 7,873 71,53557387 71,49620887 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-12 9,0455 9,0405 7,805 7,805 70,6001275 70,5611025 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-13 9,0505 9,0455 7,751 7,751 70,1504255 70,1116705 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-14 9,0455 9,0405 7,729 7,729 69,9126695 69,8740245 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-17 9,0685 9,0635 7,753 7,753 70,3080805 70,2693155 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-18 9,0585 9,0535 7,78 7,78 70,47513 70,43623 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-19 9,0225 9,0175 7,83 7,83 70,646175 70,607025 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-20 9,0315 9,0265 7,785 7,785 70,3102275 70,2713025 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-21 9,0505 9,0455 7,763 7,763 70,2590315 70,2202165 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-24 9,0655 9,0605 7,682 7,682 69,641171 69,602761 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-25 9,0715 9,0665 7,664 7,664 69,523976 69,485656 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-26 9,0885 9,0835 7,73 7,73 70,254105 70,215455 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-27 9,0675 9,0625 7,706 7,706 69,874155 69,835625 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-28 9,0955 9,0905 7,713 7,713 70,1535915 70,1150265 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-01-31 9,1075 9,1025 7,658 7,658 69,745235 69,706945 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-01 9,1035 9,0985 7,652 7,652 69,659982 69,621722 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-02 9,0905 9,0855 7,655 7,655 69,5877775 69,5495025 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-03 9,0695 9,0645 7,699 7,699 69,8260805 69,7875855 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-04 9,0895 9,0845 7,709 7,709 70,0709555 70,0324105 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-07 9,0755 9,0705 7,825 7,825 71,0157875 70,9766625 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-08 9,0895 9,0845 7,859 7,859 71,4343805 71,3950855 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-09 9,0695 9,0645 7,864 7,864 71,322548 71,283228 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-10 9,0805 9,0755 7,824 7,824 71,045832 71,006712 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-11 9,0935 9,0885 7,807 7,807 70,9929545 70,9539195 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-14 9,1105 9,1055 7,852 7,852 71,535646 71,496386 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-15 9,0765 9,0715 7,849 7,849 71,2414485 71,2022035 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-16 9,0705 9,0655 7,833 7,833 71,0492265 71,0100615 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-17 9,0925 9,0875 7,797 7,797 70,8942225 70,8552375 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-18 9,0945 9,0895 7,78 7,78 70,75521 70,71631 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-21 9,1185 9,1135 7,898 7,898 72,017913 71,978423 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-22 9,0975 9,0925 7,958 7,958 72,397905 72,358115 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-23 9,1045 9,0995 7,877 7,877 71,7161465 71,6767615 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-24 9,0715 9,0665 7,861 7,861 71,3110615 71,2717565 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-25 9,0845 9,0795 7,882 7,882 71,604029 71,564619 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-02-28 9,0505 9,0455 7,903 7,903 71,5261015 71,4865865 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-01 9,0565 9,0515 7,814 7,814 70,767491 70,728421 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-02 9,0645 9,0595 7,914 7,914 71,736453 71,696883 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-03 9,0675 9,0625 7,936 7,936 71,95968 71,92 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-04 9,0415 9,0365 7,957 7,957 71,9432155 71,9034305 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-07 9,0425 9,0375 7,927 7,927 71,6798975 71,6402625 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-08 9,0345 9,0295 7,933 7,933 71,6706885 71,6310235 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-09 9,0365 9,0315 7,843 7,843 70,8732695 70,8340545 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-10 9,0655 9,0605 7,765 7,765 70,3936075 70,3547825 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-11 9,0795 9,0745 7,759 7,759 70,4478405 70,4090455 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-14 9,0695 9,0645 7,728 7,728 70,089096 70,050456 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-15 9,1035 9,0985 7,791 7,791 70,9253685 70,8864135 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-16 9,0975 9,0925 7,818 7,818 71,124255 71,085165 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-17 9,1045 9,0995 7,711 7,711 70,2047995 70,1662445 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-18 9,1035 9,0985 7,73 7,73 70,370055 70,331405 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-21 9,1265 9,1215 7,75 7,75 70,730375 70,691625 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-22 9,1265 9,1215 7,73 7,73 70,547845 70,509195 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-23 9,1165 9,1115 7,781 7,781 70,9354865 70,8965815 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-24 9,1135 9,1085 7,871 7,871 71,7323585 71,6930035 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-29 9,1315 9,1265 7,878 7,878 71,937957 71,898567 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-30 9,1425 9,1375 7,849 7,849 71,7594825 71,7202375 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-03-31 9,1405 9,1355 7,897 7,897 72,1825285 72,1430435 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-01 9,1645 9,1595 7,858 7,858 72,014641 71,975351 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-04 9,1695 9,1645 7,878 7,878 72,237321 72,197931 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-05 9,1745 9,1695 7,909 7,909 72,5611205 72,5215755 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-06 9,1705 9,1655 8,032 8,032 73,657456 73,617296 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-07 9,1505 9,1455 8,047 8,047 73,6340735 73,5938385 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-08 9,1625 9,1575 8,113 8,113 74,3353625 74,2947975 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-11 9,1705 9,1655 8,044 8,044 73,767502 73,727282 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-12 9,1525 9,1475 8,029 8,029 73,4854225 73,4452775 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-13 9,1495 9,1445 8,069 8,069 73,8273155 73,7869705 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-14 9,1685 9,1635 8,142 8,142 74,649927 74,609217 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-15 9,1925 9,1875 8,241 8,241 75,7553925 75,7141875 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-18 9,1805 9,1755 8,308 8,308 76,271594 76,230054 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-19 9,2035 9,1985 8,173 8,173 75,2202055 75,1793405 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-20 9,1915 9,1865 8,181 8,181 75,1956615 75,1547565 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-21 9,1855 9,1805 8,12 8,12 74,58626 74,54566 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-22 9,1625 9,1575 8,189 8,189 75,0317125 74,9907675 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-25 9,1685 9,1635 8,195 8,195 75,1358575 75,0948825 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-26 9,1375 9,1325 8,199 8,199 74,9183625 74,8773675 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-27 9,1465 9,1415 8,226 8,226 75,239109 75,197979 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-28 9,1505 9,1455 8,253 8,253 75,5190765 75,4778115 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-04-29 9,1705 9,1655 8,248 8,248 75,638284 75,597044 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-02 9,1935 9,1885 8,315 8,315 76,4439525 76,4023775 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-03 9,2245 9,2195 8,332 8,332 76,858534 76,816874 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-04 9,1915 9,1865 8,341 8,341 76,6663015 76,6245965 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-06 9,1715 9,1665 8,419 8,419 77,2148585 77,1727635 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-09 9,1815 9,1765 8,473 8,473 77,7948495 77,7524845 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-10 9,1985 9,1935 8,46 8,46 77,81931 77,77701 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-11 9,2105 9,2055 8,418 8,418 77,533989 77,491899 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-12 9,2315 9,2265 8,448 8,448 77,987712 77,945472 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-13 9,2045 9,1995 8,506 8,506 78,293477 78,250947 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-16 9,2145 9,2095 8,503 8,503 78,3508935 78,3083785 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-17 9,2325 9,2275 8,505 8,505 78,5224125 78,4798875 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-18 9,2095 9,2045 8,501 8,501 78,2899595 78,2474545 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-19 9,1905 9,1855 8,515 8,515 78,2571075 78,2145325 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-20 9,1955 9,1905 8,506 8,506 78,216923 78,174393 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-23 9,1805 9,1755 8,541 8,541 78,4106505 78,3679455 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-24 9,1815 9,1765 8,543 8,543 78,4375545 78,3948395 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-25 9,1785 9,1735 8,581 8,581 78,7607085 78,7178035 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-26 9,1945 9,1895 8,572 8,572 78,815254 78,772394 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-27 9,1955 9,1905 8,626 8,626 79,320383 79,277253 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-30 9,1905 9,1855 8,628 8,628 79,295634 79,252494 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-05-31 9,1665 9,1615 8,687 8,687 79,6293855 79,5859505 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-01 9,1455 9,1405 8,707 8,707 79,6298685 79,5863335 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-02 9,1565 9,1515 8,816 8,816 80,723704 80,679624 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-03 9,1315 9,1265 8,76 8,76 79,99194 79,94814 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-07 9,1455 9,1405 8,689 8,689 79,4652495 79,4218045 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-08 9,1455 9,1405 8,695 8,695 79,5201225 79,4766475 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-09 9,1965 9,1915 8,679 8,679 79,8164235 79,7730285 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-10 9,1975 9,1925 8,73 8,73 80,294175 80,250525 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-13 9,2365 9,2315 8,752 8,752 80,837848 80,794088 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-14 9,2985 9,2935 8,766 8,766 81,510651 81,466821 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-15 9,2695 9,2645 8,808 8,808 81,645756 81,601716 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-16 9,2695 9,2645 8,747 8,747 81,0803165 81,0365815 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-17 9,2695 9,2645 8,762 8,762 81,219359 81,175549 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-20 9,2255 9,2205 8,757 8,757 80,7877035 80,7439185 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-21 9,2725 9,2675 8,798 8,798 81,579455 81,535465 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-22 9,2615 9,2565 8,816 8,816 81,649384 81,605304 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-23 9,3535 9,3485 8,817 8,817 82,4698095 82,4257245 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-27 9,3855 9,3805 8,711 8,711 81,7570905 81,7135355 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-28 9,3995 9,3945 8,649 8,649 81,2962755 81,2530305 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-29 9,4215 9,4165 8,762 8,762 82,551183 82,507373 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-06-30 9,4415 9,4365 8,754 8,754 82,650891 82,607121 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-01 9,4595 9,4545 8,732 8,732 82,600354 82,556694 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-04 9,4795 9,4745 8,789 8,789 83,3153255 83,2713805 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-05 9,4575 9,4525 8,784 8,784 83,07468 83,03076 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-06 9,4195 9,4145 8,807 8,807 82,9575365 82,9135015 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-07 9,3965 9,3915 8,802 8,802 82,707993 82,663983 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-08 9,4175 9,4125 8,764 8,764 82,53497 82,49115 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-11 9,4665 9,4615 8,84 8,84 83,68386 83,63966 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-12 9,4645 9,4595 8,797 8,797 83,2592065 83,2152215 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-13 9,3915 9,3865 8,784 8,784 82,494936 82,451016 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-14 9,3675 9,3625 8,852 8,852 82,92111 82,87685 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-15 9,4055 9,4005 8,898 8,898 83,690139 83,645649 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-18 9,3895 9,3845 8,95 8,95 84,036025 83,991275 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-19 9,4425 9,4375 8,909 8,909 84,1232325 84,0786875 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-20 9,4265 9,4215 8,858 8,858 83,499937 83,455647 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-21 9,4625 9,4575 8,925 8,925 84,4528125 84,4081875 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-22 9,4495 9,4445 8,891 8,891 84,0155045 83,9710495 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-25 9,4275 9,4225 8,925 8,925 84,1404375 84,0958125 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-26 9,4155 9,4105 8,928 8,928 84,061584 84,016944 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-27 9,4725 9,4675 8,939 8,939 84,6746775 84,6299825 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-28 9,4515 9,4465 8,99 8,99 84,968985 84,924035 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-07-29 9,3885 9,3835 9,032 9,032 84,796932 84,751772 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-01 9,3985 9,3935 9,007 9,007 84,6522895 84,6072545 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-02 9,3995 9,3945 9,037 9,037 84,9432815 84,8980965 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-03 9,3755 9,3705 9,113 9,113 85,4389315 85,3933665 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-04 9,3735 9,3685 9,037 9,037 84,7083195 84,6631345 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-05 9,3355 9,3305 8,969 8,969 83,7300995 83,6852545 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-08 9,3335 9,3285 8,925 8,925 83,3014875 83,2568625 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-09 9,3455 9,3405 8,877 8,877 82,9600035 82,9156185 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-10 9,3535 9,3485 8,961 8,961 83,8167135 83,7719085 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-11 9,3365 9,3315 8,958 8,958 83,636367 83,591577 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-12 9,3025 9,2975 8,966 8,966 83,406215 83,361385 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-15 9,3065 9,3015 8,962 8,962 83,404853 83,360043 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-16 9,2995 9,2945 8,97 8,97 83,416515 83,371665 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-17 9,3405 9,3355 8,948 8,948 83,578794 83,534054 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-18 9,3365 9,3315 8,981 8,981 83,8511065 83,8062015 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-19 9,3395 9,3345 9,043 9,043 84,4570985 84,4118835 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-22 9,3655 9,3605 9,053 9,053 84,7858715 84,7406065 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-23 9,3715 9,3665 9,037 9,037 84,6902455 84,6450605 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-24 9,3365 9,3315 8,975 8,975 83,7950875 83,7502125 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-25 9,3335 9,3285 8,885 8,885 82,9281475 82,8837225 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-26 9,3415 9,3365 8,877 8,877 82,9244955 82,8801105 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-29 9,3295 9,3245 8,809 8,809 82,1835655 82,1395205 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-30 9,3285 9,3235 8,926 8,926 83,266191 83,221561 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-08-31 9,3585 9,3535 8,949 8,949 83,7492165 83,7044715 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-01 9,3365 9,3315 8,966 8,966 83,711059 83,666229 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-02 9,3025 9,2975 8,938 8,938 83,145745 83,101055 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-05 9,2845 9,2795 8,91 8,91 82,724895 82,680345 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-06 9,3225 9,3175 8,945 8,945 83,3897625 83,3450375 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-07 9,3075 9,3025 9,041 9,041 84,1491075 84,1039025 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-08 9,3255 9,3205 9,08 9,08 84,67554 84,63014 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-09 9,3445 9,3395 9,046 9,046 84,530347 84,485117 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-12 9,3015 9,2965 9,143 9,143 85,0436145 84,9978995 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-13 9,3015 9,2965 9,125 9,125 84,8761875 84,8305625 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-14 9,3365 9,3315 9,048 9,048 84,476652 84,431412 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-15 9,3425 9,3375 9,06 9,06 84,64305 84,59775 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-16 9,3465 9,3415 9,018 9,018 84,286737 84,241647 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-19 9,3355 9,3305 9,116 9,116 85,102418 85,056838 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-20 9,3395 9,3345 9,083 9,083 84,8306785 84,7852635 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-21 9,3405 9,3355 9,051 9,051 84,5408655 84,4956105 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-22 9,3405 9,3355 8,985 8,985 83,9243925 83,8794675 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-23 9,3695 9,3645 9,024 9,024 84,550368 84,505248 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-26 9,3815 9,3765 9,078 9,078 85,165257 85,119867 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-27 9,3885 9,3835 9,077 9,077 85,2194145 85,1740295 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-28 9,3935 9,3885 9,026 9,026 84,785731 84,740601 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-29 9,3845 9,3795 9,039 9,039 84,8264955 84,7813005 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-09-30 9,3435 9,3385 9,051 9,051 84,5680185 84,5227635 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-03 9,3025 9,2975 9,14 9,14 85,02485 84,97915 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-04 9,3185 9,3135 9,196 9,196 85,692926 85,646946 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-05 9,3105 9,3055 9,237 9,237 86,0010885 85,9549035 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-06 9,3015 9,2965 9,125 9,125 84,8761875 84,8305625 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-07 9,3385 9,3335 8,999 8,999 84,0371615 83,9921665 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-10 9,3465 9,3415 9,002 9,002 84,137193 84,092183 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-11 9,3395 9,3345 9,05 9,05 84,522475 84,477225 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-12 9,3375 9,3325 9,032 9,032 84,3363 84,29114 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-13 9,3815 9,3765 8,984 8,984 84,283396 84,238476 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-14 9,4135 9,4085 8,97 8,97 84,439095 84,394245 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-17 9,4575 9,4525 8,986 8,986 84,985095 84,940165 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-18 9,4625 9,4575 9,001 9,001 85,1719625 85,1269575 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-19 9,4605 9,4555 9,028 9,028 85,409394 85,364254 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-20 9,4935 9,4885 9,057 9,057 85,9826295 85,9373445 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-21 9,4915 9,4865 8,926 8,926 84,721129 84,676499 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-24 9,5455 9,5405 8,899 8,899 84,9454045 84,9009095 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-25 9,5465 9,5415 8,966 8,966 85,593919 85,549089 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-26 9,4975 9,4925 8,882 8,882 84,356795 84,312385 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-27 9,5355 9,5305 8,858 8,858 84,465459 84,421169 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-28 9,5135 9,5085 8,747 8,747 83,2145845 83,1708495 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-10-31 9,5495 9,5445 8,831 8,831 84,3316345 84,2874795 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-01 9,5495 9,5445 8,974 8,974 85,697213 85,652343 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-02 9,5855 9,5805 8,902 8,902 85,330121 85,285611 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-03 9,6515 9,6465 8,916 8,916 86,052774 86,008194 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-04 9,5875 9,5825 9,057 9,057 86,8339875 86,7887025 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-07 9,6075 9,6025 9,149 9,149 87,8990175 87,8532725 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-08 9,5685 9,5635 9,249 9,249 88,4990565 88,4528115 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-09 9,5575 9,5525 9,266 9,266 88,559795 88,513465 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-10 9,6105 9,6055 9,254 9,254 88,935567 88,889297 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-11 9,6365 9,6315 9,331 9,331 89,9181815 89,8715265 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-14 9,5505 9,5455 9,349 9,349 89,2876245 89,2408795 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-15 9,5805 9,5755 9,305 9,305 89,1465525 89,1000275 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-16 9,6235 9,6185 9,3 9,3 89,49855 89,45205 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-17 9,6355 9,6305 9,266 9,266 89,282543 89,236213 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-18 9,6085 9,6035 9,294 9,294 89,301399 89,254929 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-21 9,5915 9,5865 9,303 9,303 89,2297245 89,1832095 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-22 9,5585 9,5535 9,328 9,328 89,161688 89,115048 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-23 9,5155 9,5105 9,269 9,269 88,1991695 88,1528245 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-24 9,5125 9,5075 9,295 9,295 88,4186875 88,3722125 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-25 9,4965 9,4915 9,275 9,275 88,0800375 88,0336625 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-28 9,4835 9,4785 9,326 9,326 88,443121 88,396491 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-29 9,4785 9,4735 9,202 9,202 87,221157 87,175147 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-11-30 9,5295 9,5245 9,209 9,209 87,7571655 87,7111205 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-01 9,5165 9,5115 9,217 9,217 87,7135805 87,6674955 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-02 9,4905 9,4855 9,32 9,32 88,45146 88,40486 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-05 9,4065 9,4015 9,371 9,371 88,1483115 88,1014565 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-07 9,4255 9,4205 9,317 9,317 87,8173835 87,7707985 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-08 9,3965 9,3915 9,342 9,342 87,782103 87,735393 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-12 9,4315 9,4265 9,295 9,295 87,6657925 87,6193175 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-13 9,4295 9,4245 9,241 9,241 87,1380095 87,0918045 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-14 9,4365 9,4315 9,276 9,276 87,532974 87,486594 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-15 9,4345 9,4295 9,278 9,278 87,533291 87,486901 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-16 9,4765 9,4715 9,277 9,277 87,9134905 87,8671055 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-19 9,4535 9,4485 9,287 9,287 87,7946545 87,7482195 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-20 9,4015 9,3965 9,408 9,408 88,449312 88,402272 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-21 9,4485 9,4435 9,453 9,453 89,3166705 89,2694055 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-22 9,4365 9,4315 9,477 9,477 89,4297105 89,3823255 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-23 9,4425 9,4375 9,491 9,491 89,6187675 89,5713125 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-27 9,4915 9,4865 9,525 9,525 90,4065375 90,3589125 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-28 9,4345 9,4295 9,479 9,479 89,4296255 89,3822305 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-29 9,4115 9,4065 9,473 9,473 89,1551395 89,1077745 416982 Seligson & Co Fondbolag Abp Seligson & Co Global Top 25 Pharmaceuticals EUR 2005-12-30 9,4325 9,4275 9,458 9,458 89,212585 89,165295 997460 Seligson & Co Fondbolag Abp Seligson & Co Japan- Indexfond EUR 2005-12-29 9,4115 9,4065 4,776 4,776 44,949324 44,925444 997460 Seligson & Co Fondbolag Abp Seligson & Co Japan- Indexfond EUR 2005-12-30 9,4325 9,4275 4,749 4,749 44,7949425 44,7711975 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-03 9,0065 9,0015 35,9041 35,9041 323,37027665 323,19075615 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-04 9,0345 9,0295 35,8727 35,8727 324,09190815 323,91254465 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-05 9,0615 9,0565 35,8959 35,8959 325,27069785 325,09121835 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-07 9,0615 9,0565 35,9817 35,9817 326,04817455 325,86826605 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-10 9,08619 9,08119 36,0135 36,0135 327,225503565 327,045436065 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-11 9,08619 9,08119 36,0204 36,0204 327,288198276 327,108096276 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-12 9,0455 9,0405 36,0013 36,0013 325,64975915 325,46975265 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-13 9,0505 9,0455 36,1092 36,1092 326,8063146 326,6257686 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-14 9,0455 9,0405 36,1407 36,1407 326,91070185 326,72999835 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-17 9,0685 9,0635 36,1687 36,1687 327,99585595 327,81501245 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-18 9,0585 9,0535 36,1825 36,1825 327,75917625 327,57826375 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-19 9,0225 9,0175 36,2412 36,2412 326,986227 326,805021 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-20 9,0315 9,0265 36,1464 36,1464 326,4562116 326,2754796 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-21 9,0505 9,0455 36,1602 36,1602 327,2678901 327,0870891 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-24 9,0655 9,0605 36,1959 36,1959 328,13393145 327,95295195 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-25 9,0715 9,0665 36,1925 36,1925 328,32026375 328,13930125 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-26 9,0885 9,0835 36,1822 36,1822 328,8419247 328,6610137 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-27 9,0675 9,0625 36,1148 36,1148 327,470949 327,290375 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-28 9,0955 9,0905 36,2202 36,2202 329,4408291 329,2597281 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-01-31 9,1075 9,1025 36,2315 36,2315 329,97838625 329,79722875 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-01 9,1035 9,0985 36,2498 36,2498 330,0000543 329,8188053 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-02 9,0905 9,0855 36,2274 36,2274 329,3251797 329,1440427 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-03 9,0695 9,0645 36,2132 36,2132 328,4356174 328,2545514 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-04 9,0895 9,0845 36,3455 36,3455 330,36242225 330,18069475 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-07 9,0755 9,0705 36,3812 36,3812 330,1775806 329,9956746 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-08 9,0895 9,0845 36,4342 36,4342 331,1686609 330,9864899 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-09 9,0695 9,0645 36,4656 36,4656 330,7247592 330,5424312 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-10 9,0805 9,0755 36,4459 36,4459 330,94699495 330,76476545 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-11 9,0935 9,0885 36,4163 36,4163 331,15162405 330,96954255 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-14 9,1105 9,1055 36,3702 36,3702 331,3507071 331,1688561 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-15 9,0765 9,0715 36,2907 36,2907 329,39253855 329,21108505 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-16 9,0705 9,0655 36,2277 36,2277 328,60335285 328,42221435 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-17 9,0925 9,0875 36,1865 36,1865 329,02575125 328,84481875 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-18 9,0945 9,0895 35,9788 35,9788 327,2091966 327,0293026 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-21 9,1185 9,1135 35,9465 35,9465 327,77816025 327,59842775 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-22 9,0975 9,0925 35,9658 35,9658 327,1988655 327,0190365 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-23 9,1045 9,0995 35,9381 35,9381 327,19843145 327,01874095 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-24 9,0715 9,0665 35,8987 35,8987 325,65505705 325,47556355 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-25 9,0845 9,0795 35,9517 35,9517 326,60321865 326,42346015 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-02-28 9,0505 9,0455 35,9183 35,9183 325,07857415 324,89898265 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-01 9,0565 9,0515 35,918 35,918 325,291367 325,111777 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-02 9,0645 9,0595 35,826 35,826 324,744777 324,565647 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-03 9,0675 9,0625 35,8656 35,8656 325,211328 325,032 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-04 9,0415 9,0365 36,0186 36,0186 325,6621719 325,4820789 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-07 9,0425 9,0375 36,0818 36,0818 326,2696765 326,0892675 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-08 9,0345 9,0295 35,9991 35,9991 325,23386895 325,05387345 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-09 9,0365 9,0315 35,9022 35,9022 324,4302303 324,2507193 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-10 9,0655 9,0605 35,8748 35,8748 325,2229994 325,0436254 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-11 9,0795 9,0745 35,8809 35,8809 325,78063155 325,60122705 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-14 9,0695 9,0645 35,8721 35,8721 325,34201095 325,16265045 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-15 9,1035 9,0985 35,9921 35,9921 327,65408235 327,47412185 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-16 9,0975 9,0925 36,0654 36,0654 328,1049765 327,9246495 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-17 9,1045 9,0995 36,0293 36,0293 328,02876185 327,84861535 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-18 9,1035 9,0985 36,0022 36,0022 327,7460277 327,5660167 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-21 9,1265 9,1215 35,9353 35,9353 327,96351545 327,78383895 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-22 9,1265 9,1215 36,0223 36,0223 328,75752095 328,57740945 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-23 9,1165 9,1115 35,9161 35,9161 327,42912565 327,24954515 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-24 9,1135 9,1085 35,9643 35,9643 327,76064805 327,58082655 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-29 9,1315 9,1265 35,9828 35,9828 328,5769382 328,3970242 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-30 9,1425 9,1375 36,0536 36,0536 329,620038 329,43977 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-03-31 9,1405 9,1355 36,0536 36,0536 329,5479308 329,3676628 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-01 9,1645 9,1595 36,1819 36,1819 331,58902255 331,40811305 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-04 9,1695 9,1645 36,2434 36,2434 332,3338563 332,1526393 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-05 9,1745 9,1695 36,2137 36,2137 332,24259065 332,06152215 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-06 9,1705 9,1655 36,1959 36,1959 331,93450095 331,75352145 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-07 9,1505 9,1455 36,2752 36,2752 331,9362176 331,7548416 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-08 9,1625 9,1575 36,2471 36,2471 332,11405375 331,93281825 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-11 9,1705 9,1655 36,2794 36,2794 332,7002377 332,5188407 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-12 9,1525 9,1475 36,295 36,295 332,1899875 332,0085125 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-13 9,1495 9,1445 36,3359 36,3359 332,45531705 332,27363755 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-14 9,1685 9,1635 36,3326 36,3326 333,1154431 332,9337801 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-15 9,1925 9,1875 36,4259 36,4259 334,84508575 334,66295625 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-18 9,1805 9,1755 36,4606 36,4606 334,7265383 334,5442353 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-19 9,2035 9,1985 36,5328 36,5328 336,2296248 336,0469608 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-20 9,1915 9,1865 36,5122 36,5122 335,6018863 335,4193253 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-21 9,1855 9,1805 36,4392 36,4392 334,7122716 334,5300756 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-22 9,1625 9,1575 36,4962 36,4962 334,3964325 334,2139515 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-25 9,1685 9,1635 36,5484 36,5484 335,0940054 334,9112634 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-26 9,1375 9,1325 36,5444 36,5444 333,924455 333,741733 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-27 9,1465 9,1415 36,6109 36,6109 334,86159685 334,67854235 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-28 9,1505 9,1455 36,6662 36,6662 335,5140631 335,3307321 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-04-29 9,1705 9,1655 36,6734 36,6734 336,3134147 336,1300477 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-02 9,1935 9,1885 36,6674 36,6674 337,1017419 336,9184049 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-03 9,2245 9,2195 36,717 36,717 338,6959665 338,5123815 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-04 9,1915 9,1865 36,6896 36,6896 337,2324584 337,0490104 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-06 9,1715 9,1665 36,5793 36,5793 335,48704995 335,30415345 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-09 9,1815 9,1765 36,6547 36,6547 336,54512805 336,36185455 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-10 9,1985 9,1935 36,7739 36,7739 338,26471915 338,08084965 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-11 9,2105 9,2055 36,8573 36,8573 339,47416165 339,28987515 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-12 9,2315 9,2265 36,8392 36,8392 340,0810748 339,8968788 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-13 9,2045 9,1995 36,8855 36,8855 339,51258475 339,32815725 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-17 9,2325 9,2275 36,8988 36,8988 340,668171 340,483677 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-18 9,2095 9,2045 36,9541 36,9541 340,32878395 340,14401345 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-19 9,1905 9,1855 36,9185 36,9185 339,29947425 339,11488175 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-20 9,1955 9,1905 36,8596 36,8596 338,9424518 338,7581538 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-23 9,1805 9,1755 36,9514 36,9514 339,2323277 339,0475707 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-24 9,1815 9,1765 37,0144 37,0144 339,8477136 339,6626416 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-25 9,1785 9,1735 37,0234 37,0234 339,8192769 339,6341599 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-26 9,1945 9,1895 36,9741 36,9741 339,95836245 339,77349195 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-27 9,1955 9,1905 36,9293 36,9293 339,58337815 339,39873165 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-30 9,1905 9,1855 36,9247 36,9247 339,35645535 339,17183185 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-05-31 9,1665 9,1615 37,0674 37,0674 339,7783221 339,5929851 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-01 9,1455 9,1405 37,1558 37,1558 339,8083689 339,6225899 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-02 9,1565 9,1515 37,1895 37,1895 340,52565675 340,33970925 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-03 9,1315 9,1265 37,1804 37,1804 339,5128226 339,3269206 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-07 9,1455 9,1405 37,3546 37,3546 341,6264943 341,4397213 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-08 9,1455 9,1405 37,4305 37,4305 342,32063775 342,13348525 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-09 9,1965 9,1915 37,4112 37,4112 344,0521008 343,8650448 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-10 9,1975 9,1925 37,3813 37,3813 343,81450675 343,62760025 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-13 9,2365 9,2315 37,302 37,302 344,539923 344,353413 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-14 9,2985 9,2935 37,2565 37,2565 346,42956525 346,24328275 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-15 9,2695 9,2645 37,0816 37,0816 343,7278912 343,5424832 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-16 9,2695 9,2645 37,0211 37,0211 343,16708645 342,98198095 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-17 9,2695 9,2645 37,1068 37,1068 343,9614826 343,7759486 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-20 9,2255 9,2205 37,0939 37,0939 342,20977445 342,02430495 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-21 9,2725 9,2675 37,2781 37,2781 345,66118225 345,47479175 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-22 9,2615 9,2565 37,4063 37,4063 346,43844745 346,25141595 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-27 9,3855 9,3805 37,5044 37,5044 351,9975462 351,8100242 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-28 9,3995 9,3945 37,391 37,391 351,4567045 351,2697495 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-29 9,4215 9,4165 37,3541 37,3541 351,93165315 351,74488265 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-06-30 9,4415 9,4365 37,4597 37,4597 353,67575755 353,48845905 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-01 9,4595 9,4545 37,4101 37,4101 353,88084095 353,69379045 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-04 9,4795 9,4745 37,3616 37,3616 354,1692872 353,9824792 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-05 9,4575 9,4525 37,2758 37,2758 352,5358785 352,3494995 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-06 9,4195 9,4145 37,2557 37,2557 350,93006615 350,74378765 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-07 9,3965 9,3915 37,3379 37,3379 350,84557735 350,65888785 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-08 9,4175 9,4125 37,3413 37,3413 351,66169275 351,47498625 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-11 9,4665 9,4615 37,2411 37,2411 352,54287315 352,35666765 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-12 9,4645 9,4595 37,2399 37,2399 352,45703355 352,27083405 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-13 9,3915 9,3865 37,1776 37,1776 349,1534304 348,9675424 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-15 9,4055 9,4005 37,1222 37,1222 349,1528521 348,9672411 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-18 9,3895 9,3845 37,1835 37,1835 349,13447325 348,94855575 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-19 9,4425 9,4375 37,1326 37,1326 350,6245755 350,4389125 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-20 9,4265 9,4215 37,1065 37,1065 349,78442225 349,59888975 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-21 9,4625 9,4575 37,1177 37,1177 351,22623625 351,04064775 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-22 9,4495 9,4445 37,2502 37,2502 351,9957649 351,8095139 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-25 9,4275 9,4225 37,2977 37,2977 351,62406675 351,43757825 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-26 9,4155 9,4105 37,2395 37,2395 350,62851225 350,44231475 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-27 9,4725 9,4675 37,2754 37,2754 353,0912265 352,9048495 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-28 9,4515 9,4465 37,2591 37,2591 352,15438365 351,96808815 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-07-29 9,3885 9,3835 37,2483 37,2483 349,70566455 349,51942305 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-01 9,3985 9,3935 37,1336 37,1336 349,0001396 348,8144716 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-02 9,3995 9,3945 37,0819 37,0819 348,55131905 348,36590955 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-03 9,3755 9,3705 37,1073 37,1073 347,89949115 347,71395465 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-04 9,3735 9,3685 37,0968 37,0968 347,7268548 347,5413708 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-05 9,3355 9,3305 36,9978 36,9978 345,3929619 345,2079729 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-08 9,3335 9,3285 37,019 37,019 345,5168365 345,3317415 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-09 9,3455 9,3405 37,0128 37,0128 345,9031224 345,7180584 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-10 9,3535 9,3485 37,0592 37,0592 346,6332272 346,4479312 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-11 9,3365 9,3315 37,0725 37,0725 346,12739625 345,94203375 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-12 9,3025 9,2975 37,2337 37,2337 346,36649425 346,18032575 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-16 9,2995 9,2945 37,3168 37,3168 347,0275816 346,8409976 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-17 9,3405 9,3355 37,3139 37,3139 348,53048295 348,34391345 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-18 9,3365 9,3315 37,3872 37,3872 349,0655928 348,8786568 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-19 9,3395 9,3345 37,383 37,383 349,1385285 348,9516135 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-22 9,3655 9,3605 37,4007 37,4007 350,27625585 350,08925235 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-23 9,3715 9,3665 37,4334 37,4334 350,8071081 350,6199411 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-24 9,3365 9,3315 37,439 37,439 349,5492235 349,3620285 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-25 9,3335 9,3285 37,4884 37,4884 349,8979814 349,7105394 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-26 9,3415 9,3365 37,4762 37,4762 350,0839223 349,8965413 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-29 9,3295 9,3245 37,4856 37,4856 349,7219052 349,5344772 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-30 9,3285 9,3235 37,4836 37,4836 349,6657626 349,4783446 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-08-31 9,3585 9,3535 37,5856 37,5856 351,7448376 351,5569096 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-01 9,3365 9,3315 37,6945 37,6945 351,93469925 351,74622675 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-02 9,3025 9,2975 37,7027 37,7027 350,72936675 350,54085325 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-05 9,2845 9,2795 37,7316 37,7316 350,3190402 350,1303822 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-06 9,3225 9,3175 37,6722 37,6722 351,1990845 351,0107235 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-07 9,3075 9,3025 37,6252 37,6252 350,196549 350,008423 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-08 9,3255 9,3205 37,689 37,689 351,4687695 351,2803245 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-09 9,3445 9,3395 37,7355 37,7355 352,61937975 352,43070225 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-12 9,3015 9,2965 37,564 37,564 349,401546 349,213726 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-13 9,3015 9,2965 37,6156 37,6156 349,8815034 349,6934254 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-14 9,3365 9,3315 37,6309 37,6309 351,34089785 351,15274335 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-15 9,3425 9,3375 37,5847 37,5847 351,13505975 350,94713625 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-16 9,3465 9,3415 37,5229 37,5229 350,70778485 350,52017035 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-19 9,3355 9,3305 37,6142 37,6142 351,1473641 350,9592931 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-20 9,3395 9,3345 37,6381 37,6381 351,52103495 351,33284445 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-21 9,3405 9,3355 37,7777 37,7777 352,86260685 352,67371835 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-22 9,3405 9,3355 37,7744 37,7744 352,8317832 352,6429112 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-23 9,3695 9,3645 37,6978 37,6978 353,2095371 353,0210481 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-26 9,3815 9,3765 37,5463 37,5463 352,24061345 352,05288195 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-27 9,3885 9,3835 37,5391 37,5391 352,43584035 352,24814485 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-28 9,3935 9,3885 37,536 37,536 352,594416 352,406736 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-29 9,3845 9,3795 37,4866 37,4866 351,7929977 351,6055647 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-09-30 9,3435 9,3385 37,5076 37,5076 350,4522606 350,2647226 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-03 9,3025 9,2975 37,4143 37,4143 348,04652575 347,85945425 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-04 9,3185 9,3135 37,4431 37,4431 348,91352735 348,72631185 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-05 9,3105 9,3055 37,4626 37,4626 348,7955373 348,6082243 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-06 9,3015 9,2965 37,4327 37,4327 348,18025905 347,99309555 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-07 9,3385 9,3335 37,4384 37,4384 349,6184984 349,4313064 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-10 9,3465 9,3415 37,478 37,478 350,288127 350,100737 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-11 9,3395 9,3345 37,4126 37,4126 349,4149777 349,2279147 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-12 9,3375 9,3325 37,3505 37,3505 348,76029375 348,57354125 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-13 9,3815 9,3765 37,2347 37,2347 349,31733805 349,13116455 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-14 9,4135 9,4085 37,237 37,237 350,5304995 350,3443145 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-17 9,4575 9,4525 37,2201 37,2201 352,00909575 351,82299525 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-18 9,4625 9,4575 37,2314 37,2314 352,3021225 352,1159655 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-19 9,4605 9,4555 37,296 37,296 352,838808 352,652328 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-20 9,4935 9,4885 37,2227 37,2227 353,37370245 353,18758895 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-21 9,4915 9,4865 37,3569 37,3569 354,57301635 354,38623185 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-24 9,5455 9,5405 37,3661 37,3661 356,67810755 356,49127705 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-25 9,5465 9,5415 37,1979 37,1979 355,10975235 354,92376285 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-26 9,4975 9,4925 37,0698 37,0698 352,0704255 351,8850765 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-27 9,5355 9,5305 37,0041 37,0041 352,85259555 352,66757505 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-28 9,5135 9,5085 37,0093 37,0093 352,08797555 351,90292905 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-10-31 9,5495 9,5445 36,9798 36,9798 353,1386001 352,9537011 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-02 9,5855 9,5805 36,9145 36,9145 353,84393975 353,65936725 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-03 9,6515 9,6465 36,8912 36,8912 356,0554168 355,8709608 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-04 9,5875 9,5825 36,8485 36,8485 353,28499375 353,10075125 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-07 9,6075 9,6025 36,8327 36,8327 353,87016525 353,68600175 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-08 9,5685 9,5635 36,9153 36,9153 353,22404805 353,03947155 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-09 9,5575 9,5525 36,789 36,789 351,6108675 351,4269225 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-10 9,6105 9,6055 36,8133 36,8133 353,79421965 353,61015315 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-14 9,5505 9,5455 36,8146 36,8146 351,5978373 351,4137643 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-15 9,5805 9,5755 36,8571 36,8571 353,10944655 352,92516105 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-16 9,6235 9,6185 37,005 37,005 356,1176175 355,9325925 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-17 9,6355 9,6305 36,9625 36,9625 356,15216875 355,96735625 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-18 9,6085 9,6035 36,7585 36,7585 353,19404725 353,01025475 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-21 9,5915 9,5865 36,8844 36,8844 353,7767226 353,5923006 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-22 9,5585 9,5535 36,8785 36,8785 352,50314225 352,31874975 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-23 9,5155 9,5105 36,9029 36,9029 351,14954495 350,96503045 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-24 9,5125 9,5075 37,0532 37,0532 352,468565 352,283299 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-25 9,4965 9,4915 37,0379 37,0379 351,73041735 351,54522785 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-28 9,4835 9,4785 37,0349 37,0349 351,22047415 351,03529965 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-29 9,4785 9,4735 36,9435 36,9435 350,16896475 349,98424725 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-11-30 9,5295 9,5245 36,9672 36,9672 352,2789324 352,0940964 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-01 9,5165 9,5115 37,0573 37,0573 352,65579545 352,47050895 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-02 9,4905 9,4855 37,0936 37,0936 352,0368108 351,8513428 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-05 9,4065 9,4015 37,0468 37,0468 348,4807242 348,2954902 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-06 9,4185 9,4135 37,1264 37,1264 349,6749984 349,4893664 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-07 9,4255 9,4205 37,0565 37,0565 349,27604075 349,09075825 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-08 9,3965 9,3915 37,1092 37,1092 348,6965978 348,5110518 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-12 9,4315 9,4265 37,0377 37,0377 349,32106755 349,13587905 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-13 9,4295 9,4245 37,0589 37,0589 349,44689755 349,26160305 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-14 9,4365 9,4315 37,1126 37,1126 350,2130499 350,0274869 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-15 9,4345 9,4295 37,1021 37,1021 350,03976245 349,85425195 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-16 9,4765 9,4715 37,1724 37,1724 352,2642486 352,0783866 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-19 9,4535 9,4485 37,1942 37,1942 351,6153697 351,4293987 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-20 9,4015 9,3965 37,1736 37,1736 349,4876004 349,3017324 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-21 9,4485 9,4435 37,0825 37,0825 350,37400125 350,18858875 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-22 9,4365 9,4315 37,1271 37,1271 350,34987915 350,16424365 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-23 9,4425 9,4375 37,1606 37,1606 350,8889655 350,7031625 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-27 9,4915 9,4865 37,1999 37,1999 353,08285085 352,89685135 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-28 9,4345 9,4295 37,2675 37,2675 351,60022875 351,41389125 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-29 9,4115 9,4065 37,2246 37,2246 350,3393229 350,1531999 743708 SG Asset Management S.A. SGAM Fund Bonds Euro EUR 2005-12-30 9,4325 9,4275 37,2826 37,2826 351,6681245 351,4817115 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-03 9,0065 9,0015 19,2393 19,2393 173,27875545 173,18255895 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-04 9,0345 9,0295 19,2593 19,2593 173,99814585 173,90184935 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-05 9,0615 9,0565 19,2414 19,2414 174,3559461 174,2597391 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-07 9,0615 9,0565 19,2459 19,2459 174,39672285 174,30049335 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-10 9,08619 9,08119 19,2446 19,2446 174,860092074 174,763869074 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-11 9,08619 9,08119 19,2359 19,2359 174,781042221 174,684862721 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-12 9,0455 9,0405 19,2196 19,2196 173,8508918 173,7547938 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-13 9,0505 9,0455 19,2194 19,2194 173,9451797 173,8490827 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-14 9,0455 9,0405 19,2296 19,2296 173,9413468 173,8451988 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-17 9,0685 9,0635 19,2198 19,2198 174,2947563 174,1986573 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-18 9,0585 9,0535 19,1977 19,1977 173,90236545 173,80637695 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-19 9,0225 9,0175 19,2291 19,2291 173,49455475 173,39840925 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-20 9,0315 9,0265 19,199 19,199 173,3957685 173,2997735 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-21 9,0505 9,0455 19,2067 19,2067 173,83023835 173,73420485 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-24 9,0655 9,0605 19,2116 19,2116 174,1627598 174,0667018 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-25 9,0715 9,0665 19,237 19,237 174,5084455 174,4122605 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-26 9,0885 9,0835 19,2667 19,2667 175,10540295 175,00906945 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-27 9,0675 9,0625 19,2831 19,2831 174,84950925 174,75309375 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-28 9,0955 9,0905 19,2983 19,2983 175,52768765 175,43119615 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-01-31 9,1075 9,1025 19,3081 19,3081 175,84852075 175,75198025 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-01 9,1035 9,0985 19,3292 19,3292 175,9633722 175,8667262 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-02 9,0905 9,0855 19,3641 19,3641 176,02935105 175,93253055 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-03 9,0695 9,0645 19,3715 19,3715 175,68981925 175,59296175 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-04 9,0895 9,0845 19,3893 19,3893 176,23904235 176,14209585 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-07 9,0755 9,0705 19,4189 19,4189 176,23622695 176,13913245 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-08 9,0895 9,0845 19,4493 19,4493 176,78441235 176,68716585 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-09 9,0695 9,0645 19,4741 19,4741 176,62034995 176,52297945 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-10 9,0805 9,0755 19,5095 19,5095 177,15601475 177,05846725 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-11 9,0935 9,0885 19,5288 19,5288 177,5851428 177,4874988 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-14 9,1105 9,1055 19,5524 19,5524 178,1321402 178,0343782 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-15 9,0765 9,0715 19,5927 19,5927 177,83314155 177,73517805 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-16 9,0705 9,0655 19,6271 19,6271 178,02761055 177,92947505 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-17 9,0925 9,0875 19,6128 19,6128 178,329384 178,23132 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-18 9,0945 9,0895 19,6186 19,6186 178,4213577 178,3232647 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-21 9,1185 9,1135 19,5965 19,5965 178,69068525 178,59270275 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-22 9,0975 9,0925 19,6042 19,6042 178,3492095 178,2511885 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-23 9,1045 9,0995 19,5789 19,5789 178,25609505 178,15820055 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-24 9,0715 9,0665 19,5978 19,5978 177,7814427 177,6834537 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-25 9,0845 9,0795 19,6157 19,6157 178,19882665 178,10074815 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-02-28 9,0505 9,0455 19,6424 19,6424 177,7735412 177,6753292 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-01 9,0565 9,0515 19,6377 19,6377 177,84883005 177,75064155 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-02 9,0645 9,0595 19,6359 19,6359 177,98961555 177,89143605 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-03 9,0675 9,0625 19,6395 19,6395 178,08116625 177,98296875 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-04 9,0415 9,0365 19,6538 19,6538 177,6998327 177,6015637 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-07 9,0425 9,0375 19,6605 19,6605 177,78007125 177,68176875 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-08 9,0345 9,0295 19,6753 19,6753 177,75649785 177,65812135 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-09 9,0365 9,0315 19,6847 19,6847 177,88079155 177,78236805 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-10 9,0655 9,0605 19,6609 19,6609 178,23588895 178,13758445 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-11 9,0795 9,0745 19,6649 19,6649 178,54745955 178,44913505 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-14 9,0695 9,0645 19,6056 19,6056 177,8129892 177,7149612 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-15 9,1035 9,0985 19,5972 19,5972 178,4031102 178,3051242 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-16 9,0975 9,0925 19,5426 19,5426 177,7888035 177,6910905 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-17 9,1045 9,0995 19,4957 19,4957 177,49860065 177,40112215 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-18 9,1035 9,0985 19,4927 19,4927 177,45179445 177,35433095 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-21 9,1265 9,1215 19,3709 19,3709 176,78851885 176,69166435 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-22 9,1265 9,1215 19,3126 19,3126 176,2564439 176,1598809 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-23 9,1165 9,1115 19,2875 19,2875 175,83449375 175,73805625 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-24 9,1135 9,1085 19,3155 19,3155 176,03180925 175,93523175 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-29 9,1315 9,1265 19,2891 19,2891 176,13841665 176,04197115 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-30 9,1425 9,1375 19,2276 19,2276 175,788333 175,692195 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-03-31 9,1405 9,1355 19,2276 19,2276 175,7498778 175,6537398 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-01 9,1645 9,1595 19,1918 19,1918 175,8832511 175,7872921 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-04 9,1695 9,1645 19,1117 19,1117 175,24473315 175,14917465 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-05 9,1745 9,1695 19,1397 19,1397 175,59717765 175,50147915 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-06 9,1705 9,1655 19,1882 19,1882 175,9653881 175,8694471 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-07 9,1505 9,1455 19,2456 19,2456 176,1068628 176,0106348 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-08 9,1625 9,1575 19,2766 19,2766 176,6218475 176,5254645 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-11 9,1705 9,1655 19,242 19,242 176,458761 176,362551 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-12 9,1525 9,1475 19,2719 19,2719 176,38606475 176,28970525 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-13 9,1495 9,1445 19,2473 19,2473 176,10317135 176,00693485 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-14 9,1685 9,1635 19,2016 19,2016 176,0498696 175,9538616 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-15 9,1925 9,1875 19,1118 19,1118 175,6852215 175,5896625 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-18 9,1805 9,1755 19,0679 19,0679 175,05285595 174,95751645 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-19 9,2035 9,1985 19,0781 19,0781 175,58529335 175,48990285 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-20 9,1915 9,1865 19,1415 19,1415 175,93909725 175,84338975 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-21 9,1855 9,1805 19,1765 19,1765 176,14574075 176,04985825 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-22 9,1625 9,1575 19,2178 19,2178 176,0830925 175,9870035 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-25 9,1685 9,1635 19,1987 19,1987 176,02328095 175,92728745 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-26 9,1375 9,1325 19,1664 19,1664 175,13298 175,037148 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-27 9,1465 9,1415 19,134 19,134 175,009131 174,913461 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-28 9,1505 9,1455 19,1037 19,1037 174,80840685 174,71288835 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-04-29 9,1705 9,1655 19,0774 19,0774 174,9492967 174,8539097 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-02 9,1935 9,1885 19,0804 19,0804 175,4156574 175,3202554 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-03 9,2245 9,2195 19,0759 19,0759 175,96563955 175,87026005 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-04 9,1915 9,1865 19,0537 19,0537 175,13208355 175,03681505 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-06 9,1715 9,1665 18,9889 18,9889 174,15669635 174,06175185 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-09 9,1815 9,1765 18,9712 18,9712 174,1840728 174,0892168 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-10 9,1985 9,1935 18,9025 18,9025 173,87464625 173,78013375 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-11 9,2105 9,2055 18,8399 18,8399 173,52489895 173,43069945 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-12 9,2315 9,2265 18,8197 18,8197 173,73406055 173,63996205 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-13 9,2045 9,1995 18,6612 18,6612 171,7670154 171,6737094 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-17 9,2325 9,2275 18,5699 18,5699 171,44660175 171,35375225 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-18 9,2095 9,2045 18,6209 18,6209 171,48917855 171,39607405 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-19 9,1905 9,1855 18,7124 18,7124 171,9763122 171,8827502 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-20 9,1955 9,1905 18,7388 18,7388 172,3126354 172,2189414 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-23 9,1805 9,1755 18,7978 18,7978 172,5732029 172,4792139 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-24 9,1815 9,1765 18,8248 18,8248 172,8399012 172,7457772 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-25 9,1785 9,1735 18,9238 18,9238 173,6920983 173,5974793 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-26 9,1945 9,1895 18,9795 18,9795 174,50701275 174,41211525 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-27 9,1955 9,1905 19,0311 19,0311 175,00048005 174,90532455 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-30 9,1905 9,1855 19,0311 19,0311 174,90532455 174,81016905 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-05-31 9,1665 9,1615 19,0469 19,0469 174,59340885 174,49817435 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-01 9,1455 9,1405 19,0835 19,0835 174,52814925 174,43273175 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-02 9,1565 9,1515 19,1658 19,1658 175,4916477 175,3958187 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-03 9,1315 9,1265 19,2472 19,2472 175,7558068 175,6595708 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-07 9,1455 9,1405 19,2402 19,2402 175,9612491 175,8650481 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-08 9,1455 9,1405 19,2733 19,2733 176,26396515 176,16759865 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-09 9,1965 9,1915 19,2602 19,2602 177,1264293 177,0301283 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-10 9,1975 9,1925 19,2833 19,2833 177,35815175 177,26173525 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-13 9,2365 9,2315 19,2718 19,2718 178,0039807 177,9076217 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-14 9,2985 9,2935 19,3068 19,3068 179,5242798 179,4277458 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-15 9,2695 9,2645 19,3388 19,3388 179,2610066 179,1643126 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-16 9,2695 9,2645 19,3357 19,3357 179,23227115 179,13559265 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-17 9,2695 9,2645 19,3625 19,3625 179,48069375 179,38388125 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-20 9,2255 9,2205 19,3551 19,3551 178,56047505 178,46369955 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-21 9,2725 9,2675 19,3734 19,3734 179,6398515 179,5429845 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-22 9,2615 9,2565 19,3957 19,3957 179,63327555 179,53629705 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-27 9,3855 9,3805 19,3861 19,3861 181,94824155 181,85131105 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-28 9,3995 9,3945 19,397 19,397 182,3221015 182,2251165 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-29 9,4215 9,4165 19,4361 19,4361 183,11721615 183,02003565 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-06-30 9,4415 9,4365 19,4413 19,4413 183,55503395 183,45782745 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-01 9,4595 9,4545 19,4443 19,4443 183,93335585 183,83613435 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-04 9,4795 9,4745 19,4636 19,4636 184,5051962 184,4078782 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-05 9,4575 9,4525 19,4828 19,4828 184,258581 184,161167 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-06 9,4195 9,4145 19,5022 19,5022 183,7009729 183,6034619 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-07 9,3965 9,3915 19,4868 19,4868 183,1077162 183,0102822 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-08 9,4175 9,4125 19,5201 19,5201 183,83054175 183,73294125 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-11 9,4665 9,4615 19,564 19,564 185,202606 185,104786 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-12 9,4645 9,4595 19,5947 19,5947 185,45403815 185,35606465 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-13 9,3915 9,3865 19,6065 19,6065 184,13444475 184,03641225 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-15 9,4055 9,4005 19,6427 19,6427 184,74941485 184,65120135 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-18 9,3895 9,3845 19,665 19,665 184,6445175 184,5461925 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-19 9,4425 9,4375 19,6571 19,6571 185,61216675 185,51388125 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-20 9,4265 9,4215 19,655 19,655 185,2778575 185,1795825 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-21 9,4625 9,4575 19,673 19,673 186,1557625 186,0573975 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-22 9,4495 9,4445 19,6773 19,6773 185,94064635 185,84225985 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-25 9,4275 9,4225 19,6727 19,6727 185,46437925 185,36601575 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-26 9,4155 9,4105 19,622 19,622 184,750941 184,652831 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-27 9,4725 9,4675 19,6039 19,6039 185,69794275 185,59992325 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-28 9,4515 9,4465 19,6131 19,6131 185,37321465 185,27514915 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-07-29 9,3885 9,3835 19,6376 19,6376 184,3676076 184,2694196 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-01 9,3985 9,3935 19,6511 19,6511 184,69086335 184,59260785 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-02 9,3995 9,3945 19,6564 19,6564 184,7603318 184,6620498 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-03 9,3755 9,3705 19,6524 19,6524 184,2510762 184,1528142 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-04 9,3735 9,3685 19,6853 19,6853 184,52015955 184,42173305 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-05 9,3355 9,3305 19,6777 19,6777 183,70116835 183,60277985 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-08 9,3335 9,3285 19,6727 19,6727 183,61514545 183,51678195 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-09 9,3455 9,3405 19,6561 19,6561 183,69608255 183,59780205 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-10 9,3535 9,3485 19,6749 19,6749 184,02917715 183,93080265 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-11 9,3365 9,3315 19,6966 19,6966 183,8973059 183,7988229 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-12 9,3025 9,2975 19,72 19,72 183,4453 183,3467 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-16 9,2995 9,2945 19,7444 19,7444 183,6130478 183,5143258 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-17 9,3405 9,3355 19,7563 19,7563 184,53372015 184,43493865 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-18 9,3365 9,3315 19,7756 19,7756 184,6348894 184,5360114 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-19 9,3395 9,3345 19,7976 19,7976 184,8996852 184,8006972 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-22 9,3655 9,3605 19,8291 19,8291 185,70943605 185,61029055 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-23 9,3715 9,3665 19,85 19,85 186,024275 185,925025 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-24 9,3365 9,3315 19,854 19,854 185,366871 185,267601 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-25 9,3335 9,3285 19,855 19,855 185,3166425 185,2173675 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-26 9,3415 9,3365 19,8657 19,8657 185,57543655 185,47610805 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-29 9,3295 9,3245 19,8689 19,8689 185,36690255 185,26755805 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-30 9,3285 9,3235 19,8637 19,8637 185,29852545 185,19920695 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-08-31 9,3585 9,3535 19,8622 19,8622 185,8803987 185,7810877 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-01 9,3365 9,3315 19,8502 19,8502 185,3313923 185,2321413 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-02 9,3025 9,2975 19,8421 19,8421 184,58113525 184,48192475 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-05 9,2845 9,2795 19,8512 19,8512 184,3084664 184,2092104 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-06 9,3225 9,3175 19,8771 19,8771 185,30426475 185,20487925 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-07 9,3075 9,3025 19,8832 19,8832 185,062884 184,963468 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-08 9,3255 9,3205 19,8954 19,8954 185,5345527 185,4350757 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-09 9,3445 9,3395 19,9305 19,9305 186,24055725 186,14090475 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-12 9,3015 9,2965 19,9437 19,9437 185,50632555 185,40660705 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-13 9,3015 9,2965 19,9475 19,9475 185,54167125 185,44193375 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-14 9,3365 9,3315 19,9652 19,9652 186,4050898 186,3052638 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-15 9,3425 9,3375 19,9795 19,9795 186,65847875 186,55858125 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-16 9,3465 9,3415 19,9767 19,9767 186,71222655 186,61234305 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-19 9,3355 9,3305 19,9637 19,9637 186,37112135 186,27130285 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-20 9,3395 9,3345 19,9539 19,9539 186,35944905 186,25967955 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-21 9,3405 9,3355 19,9301 19,9301 186,15709905 186,05744855 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-22 9,3405 9,3355 19,8927 19,8927 185,80776435 185,70830085 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-23 9,3695 9,3645 19,9161 19,9161 186,60389895 186,50431845 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-26 9,3815 9,3765 19,9391 19,9391 187,05866665 186,95897115 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-27 9,3885 9,3835 19,946 19,946 187,263021 187,163291 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-28 9,3935 9,3885 19,9351 19,9351 187,26036185 187,16068635 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-29 9,3845 9,3795 19,9555 19,9555 187,27238975 187,17261225 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-09-30 9,3435 9,3385 19,9713 19,9713 186,60184155 186,50198505 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-03 9,3025 9,2975 19,9832 19,9832 185,893718 185,793802 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-04 9,3185 9,3135 19,9977 19,9977 186,34856745 186,24857895 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-05 9,3105 9,3055 20,0077 20,0077 186,28169085 186,18165235 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-06 9,3015 9,2965 19,9817 19,9817 185,85978255 185,75987405 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-07 9,3385 9,3335 19,9743 19,9743 186,53000055 186,43012905 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-10 9,3465 9,3415 19,965 19,965 186,6028725 186,5030475 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-11 9,3395 9,3345 19,9326 19,9326 186,1605177 186,0608547 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-12 9,3375 9,3325 19,8892 19,8892 185,715405 185,615959 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-13 9,3815 9,3765 19,8488 19,8488 186,2115172 186,1122732 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-14 9,4135 9,4085 19,8406 19,8406 186,7694881 186,6702851 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-17 9,4575 9,4525 19,8771 19,8771 187,98767325 187,88828775 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-18 9,4625 9,4575 19,9069 19,9069 188,36904125 188,26950675 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-19 9,4605 9,4555 19,8763 19,8763 188,03973615 187,94035465 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-20 9,4935 9,4885 19,8898 19,8898 188,8238163 188,7243673 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-21 9,4915 9,4865 19,8931 19,8931 188,81535865 188,71589315 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-24 9,5455 9,5405 19,9105 19,9105 190,05567775 189,95612525 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-25 9,5465 9,5415 19,9163 19,9163 190,13095795 190,03137645 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-26 9,4975 9,4925 19,89 19,89 188,905275 188,805825 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-27 9,5355 9,5305 19,8732 19,8732 189,5008986 189,4015326 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-28 9,5135 9,5085 19,861 19,861 188,9476235 188,8483185 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-10-31 9,5495 9,5445 19,8972 19,8972 190,0083114 189,9088254 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-02 9,5855 9,5805 19,8931 19,8931 190,68531005 190,58584455 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-03 9,6515 9,6465 19,9356 19,9356 192,4084434 192,3087654 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-04 9,5875 9,5825 19,9302 19,9302 191,0807925 190,9811415 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-07 9,6075 9,6025 19,9356 19,9356 191,531277 191,431599 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-08 9,5685 9,5635 19,9408 19,9408 190,8035448 190,7038408 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-09 9,5575 9,5525 19,9494 19,9494 190,6663905 190,5666435 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-10 9,6105 9,6055 19,9461 19,9461 191,69199405 191,59226355 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-14 9,5505 9,5455 19,9857 19,9857 190,87342785 190,77349935 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-15 9,5805 9,5755 19,9732 19,9732 191,3532426 191,2533766 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-16 9,6235 9,6185 19,9648 19,9648 192,1312528 192,0314288 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-17 9,6355 9,6305 19,9354 19,9354 192,0875467 191,9878697 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-18 9,6085 9,6035 19,9328 19,9328 191,5243088 191,4246448 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-21 9,5915 9,5865 19,9379 19,9379 191,23436785 191,13467835 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-22 9,5585 9,5535 19,9214 19,9214 190,4187019 190,3190949 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-23 9,5155 9,5105 19,9224 19,9224 189,5715972 189,4719852 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-24 9,5125 9,5075 19,9242 19,9242 189,5289525 189,4293315 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-25 9,4965 9,4915 19,9124 19,9124 189,0981066 188,9985446 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-28 9,4835 9,4785 19,9232 19,9232 188,9416672 188,8420512 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-29 9,4785 9,4735 19,9272 19,9272 188,8799652 188,7803292 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-11-30 9,5295 9,5245 19,9263 19,9263 189,88767585 189,78804435 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-01 9,5165 9,5115 19,9389 19,9389 189,74854185 189,64884735 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-02 9,4905 9,4855 19,9539 19,9539 189,37248795 189,27271845 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-05 9,4065 9,4015 19,9584 19,9584 187,7386896 187,6388976 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-06 9,4185 9,4135 19,9517 19,9517 187,91508645 187,81532795 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-07 9,4255 9,4205 19,9481 19,9481 188,02081655 187,92107605 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-08 9,3965 9,3915 19,9656 19,9656 187,6067604 187,5069324 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-12 9,4315 9,4265 19,9944 19,9944 188,5771836 188,4772116 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-13 9,4295 9,4245 19,9935 19,9935 188,52870825 188,42874075 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-14 9,4365 9,4315 20,0039 20,0039 188,76680235 188,66678285 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-15 9,4345 9,4295 20,0057 20,0057 188,74377665 188,64374815 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-16 9,4765 9,4715 20,0253 20,0253 189,76975545 189,66962895 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-19 9,4535 9,4485 20,0435 20,0435 189,48122725 189,38100975 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-20 9,4015 9,3965 20,0492 20,0492 188,4925538 188,3923078 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-21 9,4485 9,4435 20,0729 20,0729 189,65879565 189,55843115 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-22 9,4365 9,4315 20,0818 20,0818 189,5019057 189,4014967 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-23 9,4425 9,4375 20,0896 20,0896 189,696048 189,5956 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-27 9,4915 9,4865 20,0916 20,0916 190,6994214 190,5989634 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-28 9,4345 9,4295 20,0951 20,0951 189,58722095 189,48674545 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-29 9,4115 9,4065 20,0986 20,0986 189,1579739 189,0574809 620989 SG Asset Management S.A. SGAM Fund Bonds Europe High Yield EUR 2005-12-30 9,4325 9,4275 20,1109 20,1109 189,69606425 189,59550975 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-03 6,668 6,658 26,1112 26,1112 174,1094816 173,8483696 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-04 6,728 6,718 26,1249 26,1249 175,7683272 175,5070782 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-05 6,828 6,818 26,0687 26,0687 177,9970836 177,7363966 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-07 6,87 6,86 26,0326 26,0326 178,843962 178,583636 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-10 6,96091 6,95091 25,9939 25,9939 180,941198449 180,681259449 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-11 6,96091 6,95091 25,9156 25,9156 180,396159196 180,137003196 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-12 6,913 6,903 25,924 25,924 179,212612 178,953372 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-13 6,843 6,833 25,9043 25,9043 177,2631249 177,0040819 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-14 6,915 6,905 25,8957 25,8957 179,0687655 178,8098085 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-17 6,915 6,905 25,8986 25,8986 179,088819 178,829833 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-18 6,968 6,958 25,8532 25,8532 180,1450976 179,8865656 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-19 6,91 6,9 25,8834 25,8834 178,854294 178,59546 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-20 6,96 6,95 25,8374 25,8374 179,828304 179,56993 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-21 6,978 6,968 25,8491 25,8491 180,3750198 180,1165288 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-24 6,933 6,923 25,8325 25,8325 179,0967225 178,8383975 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-25 6,95 6,94 25,8654 25,8654 179,76453 179,505876 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-26 6,995 6,985 25,8698 25,8698 180,959251 180,700553 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-27 6,93 6,92 25,916 25,916 179,59788 179,33872 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-28 6,985 6,975 25,9452 25,9452 181,227222 180,96777 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-01-31 6,998 6,988 25,9494 25,9494 181,5939012 181,3344072 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-01 6,993 6,983 25,9819 25,9819 181,6914267 181,4316077 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-02 6,953 6,943 26,0324 26,0324 181,0032772 180,7429532 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-03 6,968 6,958 26,0706 26,0706 181,6599408 181,3992348 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-04 7,01 7 26,1287 26,1287 183,162187 182,9009 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-07 7,065 7,055 26,1608 26,1608 184,826052 184,564444 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-08 7,123 7,113 26,1943 26,1943 186,5819989 186,3200559 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-09 7,1 7,09 26,189 26,189 185,9419 185,68001 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-10 7,088 7,078 26,1852 26,1852 185,6006976 185,3388456 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-11 7,068 7,058 26,198 26,198 185,167464 184,905484 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-14 7,03 7,02 26,2182 26,2182 184,313946 184,051764 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-15 7,005 6,995 26,2364 26,2364 183,785982 183,523618 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-16 6,973 6,963 26,2747 26,2747 183,2134831 182,9507361 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-17 6,97 6,96 26,2834 26,2834 183,195298 182,932464 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-18 6,965 6,955 26,2903 26,2903 183,1119395 182,8490365 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-21 6,978 6,968 26,2941 26,2941 183,4802298 183,2172888 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-22 6,905 6,895 26,2702 26,2702 181,395731 181,133029 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-23 6,895 6,885 26,2787 26,2787 181,1916365 180,9288495 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-24 6,858 6,848 26,2901 26,2901 180,2975058 180,0346048 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-25 6,885 6,875 26,3271 26,3271 181,2620835 180,9988125 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-02-28 6,828 6,818 26,3327 26,3327 179,7996756 179,5363486 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-01 6,87 6,86 26,3233 26,3233 180,841071 180,577838 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-02 6,888 6,878 26,2898 26,2898 181,0841424 180,8212444 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-03 6,903 6,893 26,2903 26,2903 181,4819409 181,2190379 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-04 6,9 6,89 26,3044 26,3044 181,50036 181,237316 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-07 6,84 6,83 26,3469 26,3469 180,212796 179,949327 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-08 6,825 6,815 26,3547 26,3547 179,8708275 179,6072805 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-09 6,76 6,75 26,3193 26,3193 177,918468 177,655275 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-10 6,745 6,735 26,2874 26,2874 177,308513 177,045639 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-11 6,765 6,755 26,2834 26,2834 177,807201 177,544367 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-14 6,76 6,75 26,2518 26,2518 177,462168 177,19965 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-15 6,815 6,805 26,2465 26,2465 178,8698975 178,6074325 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-16 6,81 6,8 26,1246 26,1246 177,908526 177,64728 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-17 6,795 6,785 26,0484 26,0484 176,998878 176,738394 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-18 6,828 6,818 26,0196 26,0196 177,6618288 177,4016328 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-21 6,908 6,898 25,8884 25,8884 178,8370672 178,5781832 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-22 6,928 6,918 25,7991 25,7991 178,7361648 178,4781738 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-23 6,973 6,963 25,5725 25,5725 178,3170425 178,0613175 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-24 7,008 6,998 25,5608 25,5608 179,1300864 178,8744784 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-29 7,055 7,045 25,4763 25,4763 179,7352965 179,4805335 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-30 7,053 7,043 25,3911 25,3911 179,0834283 178,8295173 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-03-31 7,065 7,055 25,3911 25,3911 179,3881215 179,1342105 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-01 7,07 7,06 25,4264 25,4264 179,764648 179,510384 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-04 7,113 7,103 25,3311 25,3311 180,1801143 179,9268033 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-05 7,163 7,153 25,3634 25,3634 181,6780342 181,4244002 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-06 7,125 7,115 25,4428 25,4428 181,27995 181,025522 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-07 7,083 7,073 25,5215 25,5215 180,7687845 180,5135695 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-08 7,153 7,143 25,5415 25,5415 182,6983495 182,4429345 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-11 7,098 7,088 25,4841 25,4841 180,8861418 180,6313008 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-12 7,048 7,038 25,4297 25,4297 179,2285256 178,9742286 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-13 7,075 7,065 25,407 25,407 179,754525 179,500455 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-14 7,12 7,11 25,274 25,274 179,95088 179,69814 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-15 7,17 7,16 25,1969 25,1969 180,661773 180,409804 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-18 7,08 7,07 25,1397 25,1397 177,989076 177,737679 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-19 7,068 7,058 25,1706 25,1706 177,9058008 177,6540948 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-20 7,043 7,033 25,2326 25,2326 177,7132018 177,4608758 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-21 7,025 7,015 25,2677 25,2677 177,5055925 177,2529155 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-22 7,023 7,013 25,2727 25,2727 177,4901721 177,2374451 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-25 7,04 7,03 25,2474 25,2474 177,741696 177,489222 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-26 7,035 7,025 25,1693 25,1693 177,0660255 176,8143325 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-27 7,085 7,075 25,07 25,07 177,62095 177,37025 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-28 7,085 7,075 24,9707 24,9707 176,9174095 176,6677025 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-04-29 7,08 7,07 24,9047 24,9047 176,325276 176,076229 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-02 7,15 7,14 24,9299 24,9299 178,248785 177,999486 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-03 7,178 7,168 24,933 24,933 178,969074 178,719744 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-04 7,11 7,1 25,0252 25,0252 177,929172 177,67892 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-06 7,085 7,075 24,9951 24,9951 177,0902835 176,8403325 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-09 7,168 7,158 24,9939 24,9939 179,1562752 178,9063362 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-10 7,178 7,168 24,9905 24,9905 179,381809 179,131904 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-11 7,15 7,14 24,8975 24,8975 178,017125 177,76815 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-12 7,243 7,233 24,8588 24,8588 180,0522884 179,8037004 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-13 7,265 7,255 24,662 24,662 179,16943 178,92281 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-17 7,313 7,303 24,5049 24,5049 179,2043337 178,9592847 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-18 7,3 7,29 24,5734 24,5734 179,38582 179,140086 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-19 7,26 7,25 24,7261 24,7261 179,511486 179,264225 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-20 7,28 7,27 24,8018 24,8018 180,557104 180,309086 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-23 7,32 7,31 24,9251 24,9251 182,451732 182,202481 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-24 7,295 7,285 24,9524 24,9524 182,027758 181,778234 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-25 7,298 7,288 25,0922 25,0922 183,1228756 182,8719536 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-26 7,33 7,32 25,1656 25,1656 184,463848 184,212192 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-27 7,338 7,328 25,2699 25,2699 185,4305262 185,1778272 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-30 7,338 7,328 25,2561 25,2561 185,3292618 185,0767008 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-05-31 7,403 7,393 25,3515 25,3515 187,6771545 187,4236395 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-01 7,428 7,418 25,4122 25,4122 188,7618216 188,5076996 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-02 7,473 7,463 25,5251 25,5251 190,7490723 190,4938213 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-03 7,438 7,428 25,5935 25,5935 190,364453 190,108518 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-07 7,448 7,438 25,5354 25,5354 190,1876592 189,9323052 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-08 7,435 7,425 25,5177 25,5177 189,7240995 189,4689225 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-09 7,523 7,513 25,4517 25,4517 191,4731391 191,2186221 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-10 7,525 7,515 25,4832 25,4832 191,76108 191,506248 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-13 7,643 7,633 25,4724 25,4724 194,6855532 194,4308292 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-14 7,663 7,653 25,489 25,489 195,322207 195,067317 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-15 7,693 7,683 25,5196 25,5196 196,3222828 196,0670868 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-16 7,678 7,668 25,522 25,522 195,957916 195,702696 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-17 7,643 7,633 25,5493 25,5493 195,2732999 195,0178069 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-20 7,543 7,533 25,5255 25,5255 192,5388465 192,2835915 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-21 7,648 7,638 25,5547 25,5547 195,4423456 195,1867986 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-22 7,608 7,598 25,5899 25,5899 194,6879592 194,4320602 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-27 7,73 7,72 25,5311 25,5311 197,355403 197,100092 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-28 7,76 7,75 25,5765 25,5765 198,47364 198,217875 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-29 7,833 7,823 25,6293 25,6293 200,7543069 200,4980139 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-06-30 7,823 7,813 25,6565 25,6565 200,7107995 200,4542345 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-01 7,858 7,848 25,6916 25,6916 201,8845928 201,6276768 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-04 7,945 7,935 25,696 25,696 204,15472 203,89776 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-05 7,963 7,953 25,6724 25,6724 204,4293212 204,1725972 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-06 7,895 7,885 25,6822 25,6822 202,760969 202,504147 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-07 7,878 7,868 25,6809 25,6809 202,3141302 202,0573212 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-08 7,913 7,903 25,7639 25,7639 203,8697407 203,6121017 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-11 7,89 7,88 25,8099 25,8099 203,640111 203,382012 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-12 7,77 7,76 25,8859 25,8859 201,133443 200,874584 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-13 7,703 7,693 25,9078 25,9078 199,5677834 199,3087054 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-15 7,76 7,75 25,9608 25,9608 201,455808 201,1962 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-18 7,78 7,77 25,9643 25,9643 202,002254 201,742611 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-19 7,878 7,868 25,942 25,942 204,371076 204,111656 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-20 7,818 7,808 25,9396 25,9396 202,7957928 202,5363968 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-21 7,775 7,765 25,9647 25,9647 201,8755425 201,6158955 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-22 7,758 7,748 25,9715 25,9715 201,486897 201,227182 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-25 7,838 7,828 25,984 25,984 203,662592 203,402752 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-26 7,818 7,808 25,9999 25,9999 203,2672182 203,0072192 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-27 7,905 7,895 26,0239 26,0239 205,7189295 205,4586905 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-28 7,848 7,838 26,0433 26,0433 204,3878184 204,1273854 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-07-29 7,748 7,738 26,0527 26,0527 201,8563196 201,5957926 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-01 7,72 7,71 26,0486 26,0486 201,095192 200,834706 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-02 7,7 7,69 26,0445 26,0445 200,54265 200,282205 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-03 7,685 7,675 26,0458 26,0458 200,161973 199,901515 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-04 7,618 7,608 26,0445 26,0445 198,407001 198,146556 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-05 7,548 7,538 26,0107 26,0107 196,3287636 196,0686566 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-08 7,558 7,548 25,9516 25,9516 196,1421928 195,8826768 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-09 7,548 7,538 25,9718 25,9718 196,0351464 195,7754284 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-10 7,558 7,548 26,0002 26,0002 196,5095116 196,2495096 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-11 7,523 7,513 26 26 195,598 195,338 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-12 7,46 7,45 26,0024 26,0024 193,977904 193,71788 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-16 7,523 7,513 26,0042 26,0042 195,6295966 195,3695546 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-17 7,605 7,595 26,001 26,001 197,737605 197,477595 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-18 7,61 7,6 26,0208 26,0208 198,018288 197,75808 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-19 7,698 7,688 26,057 26,057 200,586786 200,326216 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-22 7,69 7,68 26,066 26,066 200,44754 200,18688 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-23 7,663 7,653 26,0813 26,0813 199,8610019 199,6001889 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-24 7,673 7,663 26,104 26,104 200,295992 200,034952 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-25 7,588 7,578 26,112 26,112 198,137856 197,876736 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-26 7,578 7,568 26,1328 26,1328 198,0343584 197,7730304 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-29 7,573 7,563 26,1205 26,1205 197,8105465 197,5493415 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-30 7,633 7,623 26,0828 26,0828 199,0900124 198,8291844 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-08-31 7,668 7,658 26,0741 26,0741 199,9361988 199,6754578 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-01 7,568 7,558 26,0708 26,0708 197,3038144 197,0431064 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-02 7,435 7,425 26,0661 26,0661 193,8014535 193,5407925 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-05 7,41 7,4 26,0721 26,0721 193,194261 192,93354 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-06 7,485 7,475 26,0778 26,0778 195,192333 194,931555 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-07 7,43 7,42 26,0779 26,0779 193,758797 193,498018 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-08 7,498 7,488 26,0814 26,0814 195,5583372 195,2975232 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-09 7,523 7,513 26,0887 26,0887 196,2652901 196,0044031 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-12 7,555 7,545 26,0922 26,0922 197,126571 196,865649 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-13 7,57 7,56 26,078 26,078 197,41046 197,14968 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-14 7,61 7,6 26,0883 26,0883 198,531963 198,27108 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-15 7,658 7,648 26,0548 26,0548 199,5276584 199,2671104 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-16 7,613 7,603 26,0301 26,0301 198,1671513 197,9068503 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-19 7,698 7,688 25,9702 25,9702 199,9185996 199,6588976 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-20 7,688 7,678 25,9064 25,9064 199,1684032 198,9093392 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-21 7,663 7,653 25,8634 25,8634 198,1912342 197,9326002 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-22 7,648 7,638 25,8027 25,8027 197,3390496 197,0810226 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-23 7,733 7,723 25,8645 25,8645 200,0101785 199,7515335 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-26 7,798 7,788 25,9168 25,9168 202,0992064 201,8400384 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-27 7,825 7,815 25,8967 25,8967 202,6416775 202,3827105 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-28 7,81 7,8 25,8765 25,8765 202,095465 201,8367 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-29 7,785 7,775 25,8614 25,8614 201,330999 201,072385 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-09-30 7,785 7,775 25,8529 25,8529 201,2648265 201,0062975 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-03 7,783 7,773 25,848 25,848 201,174984 200,916504 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-04 7,82 7,81 25,8445 25,8445 202,10399 201,845545 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-05 7,795 7,785 25,8143 25,8143 201,2224685 200,9643255 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-06 7,713 7,703 25,7699 25,7699 198,7632387 198,5055397 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-07 7,683 7,673 25,7445 25,7445 197,7949935 197,5375485 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-10 7,698 7,688 25,7441 25,7441 198,1780818 197,9206408 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-11 7,77 7,76 25,6587 25,6587 199,368099 199,111512 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-12 7,805 7,795 25,5644 25,5644 199,530142 199,274498 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-13 7,83 7,82 25,4836 25,4836 199,536588 199,281752 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-14 7,833 7,823 25,5218 25,5218 199,9122594 199,6570414 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-17 7,835 7,825 25,5776 25,5776 200,400496 200,14472 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-18 7,893 7,883 25,6354 25,6354 202,3402122 202,0838582 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-19 7,96 7,95 25,6206 25,6206 203,939976 203,68377 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-20 7,93 7,92 25,6429 25,6429 203,348197 203,091768 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-21 7,883 7,873 25,6853 25,6853 202,4772199 202,2203669 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-24 7,995 7,985 25,6689 25,6689 205,2228555 204,9661665 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-25 7,99 7,98 25,6774 25,6774 205,162426 204,905652 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-26 7,868 7,858 25,6108 25,6108 201,5057744 201,2496664 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-27 7,868 7,858 25,5542 25,5542 201,0604456 200,8049036 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-28 7,825 7,815 25,5219 25,5219 199,7088675 199,4536485 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-10-31 7,905 7,895 25,5595 25,5595 202,0478475 201,7922525 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-02 7,98 7,97 25,5619 25,5619 203,983962 203,728343 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-03 8,01 8 25,5932 25,5932 205,001532 204,7456 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-04 8,028 8,018 25,6 25,6 205,5168 205,2608 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-07 8,135 8,125 25,6065 25,6065 208,3088775 208,0528125 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-08 8,17 8,16 25,6232 25,6232 209,341544 209,085312 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-09 8,12 8,11 25,5825 25,5825 207,7299 207,474075 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-10 8,173 8,163 25,558 25,558 208,885534 208,629954 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-14 8,133 8,123 25,5409 25,5409 207,7241397 207,4687307 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-15 8,185 8,175 25,4803 25,4803 208,5562555 208,3014525 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-16 8,21 8,2 25,4543 25,4543 208,979803 208,72526 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-17 8,258 8,248 25,4214 25,4214 209,9299212 209,6757072 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-18 8,223 8,213 25,4747 25,4747 209,4784581 209,2237111 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-21 8,123 8,113 25,4883 25,4883 207,0414609 206,7865779 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-22 8,15 8,14 25,5169 25,5169 207,962735 207,707566 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-23 8,048 8,038 25,5477 25,5477 205,6078896 205,3524126 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-24 8,053 8,043 25,5617 25,5617 205,8483701 205,5927531 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-25 8,078 8,068 25,5747 25,5747 206,5924266 206,3366796 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-28 8,118 8,108 25,6025 25,6025 207,841095 207,58507 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-29 8,015 8,005 25,6639 25,6639 205,6961585 205,4395195 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-11-30 8,088 8,078 25,6866 25,6866 207,7532208 207,4963548 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-01 8,083 8,073 25,6943 25,6943 207,6870269 207,4300839 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-02 8,103 8,093 25,7104 25,7104 208,3313712 208,0742672 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-05 8,045 8,035 25,694 25,694 206,70823 206,45129 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-06 7,993 7,983 25,6809 25,6809 205,2674337 205,0106247 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-07 8,015 8,005 25,7017 25,7017 205,9991255 205,7421085 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-08 7,988 7,978 25,7209 25,7209 205,4585492 205,2013402 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-12 7,953 7,943 25,7607 25,7607 204,8748471 204,6172401 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-13 7,905 7,895 25,7662 25,7662 203,681811 203,424149 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-14 7,848 7,838 25,7741 25,7741 202,2751368 202,0173958 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-15 7,858 7,848 25,7734 25,7734 202,5273772 202,2696432 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-16 7,903 7,893 25,7727 25,7727 203,6816481 203,4239211 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-19 7,865 7,855 25,7789 25,7789 202,7510485 202,4932595 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-20 7,848 7,838 25,7618 25,7618 202,1786064 201,9209884 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-21 7,948 7,938 25,7532 25,7532 204,6864336 204,4289016 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-22 7,98 7,97 25,7612 25,7612 205,574376 205,316764 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-23 7,955 7,945 25,7802 25,7802 205,081491 204,823689 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-27 8,01 8 25,7815 25,7815 206,509815 206,252 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-28 7,915 7,905 25,8122 25,8122 204,303563 204,045441 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-29 7,938 7,928 25,8247 25,8247 204,9964686 204,7382216 637983 SG Asset Management S.A. SGAM Fund Bonds US High Yield USD 2005-12-30 7,958 7,948 25,8283 25,8283 205,5416114 205,2833284 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-03 6,668 6,658 22,7198 22,7198 151,4956264 151,2684284 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-04 6,728 6,718 22,6626 22,6626 152,4739728 152,2473468 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-05 6,828 6,818 22,662 22,662 154,736136 154,509516 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-07 6,87 6,86 22,699 22,699 155,94213 155,71514 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-10 6,96091 6,95091 22,7155 22,7155 158,120551105 157,893396105 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-11 6,96091 6,95091 22,7416 22,7416 158,302230856 158,074814856 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-12 6,913 6,903 22,7694 22,7694 157,4048622 157,1771682 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-13 6,843 6,833 22,8216 22,8216 156,1682088 155,9399928 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-14 6,915 6,905 22,7977 22,7977 157,6460955 157,4181185 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-17 6,915 6,905 22,8004 22,8004 157,664766 157,436762 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-18 6,968 6,958 22,8101 22,8101 158,9407768 158,7126758 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-19 6,91 6,9 22,8262 22,8262 157,729042 157,50078 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-20 6,96 6,95 22,8717 22,8717 159,187032 158,958315 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-21 6,978 6,968 22,9149 22,9149 159,9001722 159,6710232 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-24 6,933 6,923 22,9156 22,9156 158,8738548 158,6446988 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-25 6,95 6,94 22,8482 22,8482 158,79499 158,566508 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-26 6,995 6,985 22,8484 22,8484 159,824558 159,596074 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-27 6,93 6,92 22,8269 22,8269 158,190417 157,962148 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-28 6,985 6,975 22,8892 22,8892 159,881062 159,65217 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-01-31 6,998 6,988 22,885 22,885 160,14923 159,92038 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-01 6,993 6,983 22,8835 22,8835 160,0243155 159,7954805 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-02 6,953 6,943 22,8938 22,8938 159,1805914 158,9516534 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-03 6,968 6,958 22,8765 22,8765 159,403452 159,174687 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-04 7,01 7 22,9689 22,9689 161,011989 160,7823 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-07 7,065 7,055 22,9858 22,9858 162,394677 162,164819 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-08 7,123 7,113 22,9922 22,9922 163,7734406 163,5435186 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-09 7,1 7,09 23,047 23,047 163,6337 163,40323 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-10 7,088 7,078 22,9614 22,9614 162,7504032 162,5207892 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-11 7,068 7,058 22,9378 22,9378 162,1243704 161,8949924 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-14 7,03 7,02 22,9565 22,9565 161,384195 161,15463 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-15 7,005 6,995 22,9299 22,9299 160,6239495 160,3946505 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-16 6,973 6,963 22,863 22,863 159,423699 159,195069 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-17 6,97 6,96 22,8605 22,8605 159,337685 159,10908 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-18 6,965 6,955 22,8112 22,8112 158,880008 158,651896 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-21 6,978 6,968 22,8136 22,8136 159,1933008 158,9651648 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-22 6,905 6,895 22,788 22,788 157,35114 157,12326 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-23 6,895 6,885 22,8165 22,8165 157,3197675 157,0916025 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-24 6,858 6,848 22,7966 22,7966 156,3390828 156,1111168 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-25 6,885 6,875 22,7924 22,7924 156,925674 156,69775 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-02-28 6,828 6,818 22,6889 22,6889 154,9198092 154,6929202 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-01 6,87 6,86 22,6667 22,6667 155,720229 155,493562 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-02 6,888 6,878 22,6726 22,6726 156,1688688 155,9421428 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-03 6,903 6,893 22,6748 22,6748 156,5241444 156,2973964 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-04 6,9 6,89 22,7653 22,7653 157,08057 156,852917 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-07 6,84 6,83 22,7818 22,7818 155,827512 155,599694 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-08 6,825 6,815 22,7116 22,7116 155,00667 154,779554 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-09 6,76 6,75 22,571 22,571 152,57996 152,35425 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-10 6,745 6,735 22,6125 22,6125 152,5213125 152,2951875 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-11 6,765 6,755 22,5277 22,5277 152,3998905 152,1746135 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-14 6,76 6,75 22,5493 22,5493 152,433268 152,207775 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-15 6,815 6,805 22,5305 22,5305 153,5453575 153,3200525 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-16 6,81 6,8 22,5485 22,5485 153,555285 153,3298 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-17 6,795 6,785 22,5987 22,5987 153,5581665 153,3321795 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-18 6,828 6,818 22,5692 22,5692 154,1024976 153,8768056 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-21 6,908 6,898 22,549 22,549 155,768492 155,543002 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-22 6,928 6,918 22,4513 22,4513 155,5426064 155,3180934 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-23 6,973 6,963 22,425 22,425 156,369525 156,145275 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-24 7,008 6,998 22,4019 22,4019 156,9925152 156,7684962 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-29 7,055 7,045 22,4382 22,4382 158,301501 158,077119 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-30 7,053 7,043 22,4747 22,4747 158,5140591 158,2893121 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-03-31 7,065 7,055 22,4747 22,4747 158,7837555 158,5590085 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-01 7,07 7,06 22,6182 22,6182 159,910674 159,684492 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-04 7,113 7,103 22,6134 22,6134 160,8491142 160,6229802 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-05 7,163 7,153 22,5953 22,5953 161,8501339 161,6241809 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-06 7,125 7,115 22,6333 22,6333 161,2622625 161,0359295 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-07 7,083 7,073 22,6078 22,6078 160,1310474 159,9049694 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-08 7,153 7,143 22,5848 22,5848 161,5490744 161,3232264 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-11 7,098 7,088 22,6086 22,6086 160,4758428 160,2497568 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-12 7,048 7,038 22,6937 22,6937 159,9451976 159,7182606 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-13 7,075 7,065 22,7086 22,7086 160,663345 160,436259 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-14 7,12 7,11 22,7489 22,7489 161,972168 161,744679 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-15 7,17 7,16 22,8431 22,8431 163,785027 163,556596 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-18 7,08 7,07 22,8755 22,8755 161,95854 161,729785 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-19 7,068 7,058 22,9315 22,9315 162,079842 161,850527 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-20 7,043 7,033 22,9279 22,9279 161,4811997 161,2519207 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-21 7,025 7,015 22,8332 22,8332 160,40323 160,174898 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-22 7,023 7,013 22,892 22,892 160,770516 160,541596 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-25 7,04 7,03 22,8847 22,8847 161,108288 160,879441 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-26 7,035 7,025 22,8682 22,8682 160,877787 160,649105 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-27 7,085 7,075 22,9113 22,9113 162,3265605 162,0974475 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-28 7,085 7,075 22,9736 22,9736 162,767956 162,53822 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-04-29 7,08 7,07 22,9375 22,9375 162,3975 162,168125 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-02 7,15 7,14 22,9461 22,9461 164,064615 163,835154 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-03 7,178 7,168 22,9436 22,9436 164,6891608 164,4597248 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-04 7,11 7,1 23,0149 23,0149 163,635939 163,40579 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-06 7,085 7,075 22,9096 22,9096 162,314516 162,08542 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-09 7,168 7,158 22,8791 22,8791 163,9973888 163,7685978 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-10 7,178 7,168 22,9337 22,9337 164,6180986 164,3887616 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-11 7,15 7,14 22,9382 22,9382 164,00813 163,778748 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-12 7,243 7,233 22,9631 22,9631 166,3217333 166,0921023 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-13 7,265 7,255 23,0127 23,0127 167,1872655 166,9571385 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-17 7,313 7,303 23,0155 23,0155 168,3123515 168,0821965 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-18 7,3 7,29 23,0632 23,0632 168,36136 168,130728 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-19 7,26 7,25 23,0266 23,0266 167,173116 166,94285 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-20 7,28 7,27 23,015 23,015 167,5492 167,31905 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-23 7,32 7,31 23,0731 23,0731 168,895092 168,664361 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-24 7,295 7,285 23,1066 23,1066 168,562647 168,331581 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-25 7,298 7,288 23,0834 23,0834 168,4626532 168,2318192 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-26 7,33 7,32 23,0833 23,0833 169,200589 168,969756 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-27 7,338 7,328 23,0994 23,0994 169,5033972 169,2724032 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-30 7,338 7,328 23,1016 23,1016 169,5195408 169,2885248 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-05-31 7,403 7,393 23,1812 23,1812 171,6104236 171,3786116 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-01 7,428 7,418 23,3067 23,3067 173,1221676 172,8891006 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-02 7,473 7,463 23,3 23,3 174,1209 173,8879 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-03 7,438 7,428 23,21 23,21 172,63598 172,40388 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-07 7,448 7,438 23,2698 23,2698 173,3134704 173,0807724 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-08 7,435 7,425 23,2279 23,2279 172,6994365 172,4671575 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-09 7,523 7,513 23,2035 23,2035 174,5599305 174,3278955 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-10 7,525 7,515 23,119 23,119 173,970475 173,739285 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-13 7,643 7,633 23,0857 23,0857 176,4440051 176,2131481 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-14 7,663 7,653 23,069 23,069 176,777747 176,547057 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-15 7,693 7,683 23,0859 23,0859 177,5998287 177,3689697 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-16 7,678 7,668 23,0946 23,0946 177,3203388 177,0893928 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-17 7,643 7,633 23,1471 23,1471 176,9132853 176,6818143 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-20 7,543 7,533 23,1168 23,1168 174,3700224 174,1388544 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-21 7,648 7,638 23,1787 23,1787 177,2706976 177,0389106 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-22 7,608 7,598 23,2679 23,2679 177,0221832 176,7895042 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-27 7,73 7,72 23,2967 23,2967 180,083491 179,850524 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-28 7,76 7,75 23,2197 23,2197 180,184872 179,952675 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-29 7,833 7,823 23,2154 23,2154 181,8462282 181,6140742 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-06-30 7,823 7,813 23,2445 23,2445 181,8417235 181,6092785 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-01 7,858 7,848 23,153 23,153 181,936274 181,704744 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-04 7,945 7,935 23,1555 23,1555 183,9704475 183,7388925 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-05 7,963 7,953 23,1072 23,1072 184,0026336 183,7715616 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-06 7,895 7,885 23,1284 23,1284 182,598718 182,367434 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-07 7,878 7,868 23,1649 23,1649 182,4930822 182,2614332 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-08 7,913 7,903 23,1079 23,1079 182,8528127 182,6217337 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-11 7,89 7,88 23,1208 23,1208 182,423112 182,191904 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-12 7,77 7,76 23,0874 23,0874 179,389098 179,158224 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-13 7,703 7,693 23,0698 23,0698 177,7066694 177,4759714 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-15 7,76 7,75 23,0726 23,0726 179,043376 178,81265 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-18 7,78 7,77 23,0454 23,0454 179,293212 179,062758 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-19 7,878 7,868 23,0767 23,0767 181,7982426 181,5674756 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-20 7,818 7,808 23,0889 23,0889 180,5090202 180,2781312 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-21 7,775 7,765 23,0004 23,0004 178,82811 178,598106 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-22 7,758 7,748 23,0523 23,0523 178,8397434 178,6092204 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-25 7,838 7,828 23,0187 23,0187 180,4205706 180,1903836 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-26 7,818 7,808 23,027 23,027 180,025086 179,794816 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-27 7,905 7,895 23,0156 23,0156 181,938318 181,708162 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-28 7,848 7,838 23,0727 23,0727 181,0745496 180,8438226 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-07-29 7,748 7,738 23,0003 23,0003 178,2063244 177,9763214 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-01 7,72 7,71 22,9744 22,9744 177,362368 177,132624 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-02 7,7 7,69 22,9608 22,9608 176,79816 176,568552 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-03 7,685 7,675 22,9959 22,9959 176,7234915 176,4935325 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-04 7,618 7,608 22,9722 22,9722 175,0022196 174,7724976 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-05 7,548 7,538 22,9173 22,9173 172,9797804 172,7506074 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-08 7,558 7,548 22,8945 22,8945 173,036631 172,807686 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-09 7,548 7,538 22,9191 22,9191 172,9933668 172,7641758 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-10 7,558 7,548 22,9325 22,9325 173,323835 173,09451 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-11 7,523 7,513 22,9968 22,9968 173,0049264 172,7749584 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-12 7,46 7,45 23,0641 23,0641 172,058186 171,827545 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-16 7,523 7,513 23,1101 23,1101 173,8572823 173,6261813 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-17 7,605 7,595 23,0685 23,0685 175,4359425 175,2052575 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-18 7,61 7,6 23,1097 23,1097 175,864817 175,63372 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-19 7,698 7,688 23,1216 23,1216 177,9900768 177,7588608 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-22 7,69 7,68 23,1223 23,1223 177,810487 177,579264 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-23 7,663 7,653 23,1606 23,1606 177,4796778 177,2480718 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-24 7,673 7,663 23,163 23,163 177,729699 177,498069 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-25 7,588 7,578 23,1759 23,1759 175,8587292 175,6269702 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-26 7,578 7,568 23,1615 23,1615 175,517847 175,286232 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-29 7,573 7,563 23,1789 23,1789 175,5338097 175,3020207 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-30 7,633 7,623 23,2529 23,2529 177,4893857 177,2568567 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-08-31 7,668 7,658 23,3142 23,3142 178,7732856 178,5401436 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-01 7,568 7,558 23,3316 23,3316 176,5735488 176,3402328 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-02 7,435 7,425 23,326 23,326 173,42881 173,19555 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-05 7,41 7,4 23,3285 23,3285 172,864185 172,6309 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-06 7,485 7,475 23,2721 23,2721 174,1916685 173,9589475 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-07 7,43 7,42 23,2341 23,2341 172,629363 172,397022 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-08 7,498 7,488 23,238 23,238 174,238524 174,006144 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-09 7,523 7,513 23,2535 23,2535 174,9360805 174,7035455 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-12 7,555 7,545 23,2227 23,2227 175,4474985 175,2152715 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-13 7,57 7,56 23,2567 23,2567 176,053219 175,820652 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-14 7,61 7,6 23,2471 23,2471 176,910431 176,67796 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-15 7,658 7,648 23,2177 23,2177 177,8011466 177,5689696 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-16 7,613 7,603 23,1812 23,1812 176,4784756 176,2466636 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-19 7,698 7,688 23,1995 23,1995 178,589751 178,357756 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-20 7,688 7,678 23,1708 23,1708 178,1371104 177,9054024 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-21 7,663 7,653 23,2143 23,2143 177,8911809 177,6590379 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-22 7,648 7,638 23,2241 23,2241 177,6179168 177,3856758 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-23 7,733 7,723 23,1624 23,1624 179,1148392 178,8832152 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-26 7,798 7,788 23,1176 23,1176 180,2710448 180,0398688 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-27 7,825 7,815 23,1161 23,1161 180,8834825 180,6523215 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-28 7,81 7,8 23,1328 23,1328 180,667168 180,43584 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-29 7,785 7,775 23,1067 23,1067 179,8856595 179,6545925 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-09-30 7,785 7,775 23,0665 23,0665 179,5727025 179,3420375 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-03 7,783 7,773 22,9996 22,9996 179,0058868 178,7758908 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-04 7,82 7,81 23,0099 23,0099 179,937418 179,707319 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-05 7,795 7,785 23,0286 23,0286 179,507937 179,277651 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-06 7,713 7,703 23,0308 23,0308 177,6365604 177,4062524 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-07 7,683 7,673 23,0465 23,0465 177,0662595 176,8357945 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-10 7,698 7,688 23,0473 23,0473 177,4181154 177,1876424 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-11 7,77 7,76 23,0101 23,0101 178,788477 178,558376 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-12 7,805 7,795 22,9675 22,9675 179,2613375 179,0316625 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-13 7,83 7,82 22,9543 22,9543 179,732169 179,502626 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-14 7,833 7,823 22,9324 22,9324 179,6294892 179,4001652 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-17 7,835 7,825 22,9097 22,9097 179,4974995 179,2684025 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-18 7,893 7,883 22,916 22,916 180,875988 180,646828 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-19 7,96 7,95 22,9289 22,9289 182,514044 182,284755 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-20 7,93 7,92 22,9209 22,9209 181,762737 181,533528 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-21 7,883 7,873 22,9727 22,9727 181,0937941 180,8640671 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-24 7,995 7,985 22,9462 22,9462 183,454869 183,225407 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-25 7,99 7,98 22,8881 22,8881 182,875919 182,647038 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-26 7,868 7,858 22,8159 22,8159 179,5155012 179,2873422 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-27 7,868 7,858 22,8442 22,8442 179,7381656 179,5097236 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-28 7,825 7,815 22,8338 22,8338 178,674485 178,446147 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-10-31 7,905 7,895 22,8117 22,8117 180,3264885 180,0983715 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-02 7,98 7,97 22,783 22,783 181,80834 181,58051 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-03 8,01 8 22,7486 22,7486 182,216286 181,9888 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-04 8,028 8,018 22,7406 22,7406 182,5615368 182,3341308 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-07 8,135 8,125 22,7607 22,7607 185,1582945 184,9306875 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-08 8,17 8,16 22,8257 22,8257 186,485969 186,257712 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-09 8,12 8,11 22,7675 22,7675 184,8721 184,644425 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-10 8,173 8,163 22,8313 22,8313 186,6002149 186,3719019 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-14 8,133 8,123 22,8072 22,8072 185,4909576 185,2628856 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-15 8,185 8,175 22,8534 22,8534 187,055079 186,826545 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-16 8,21 8,2 22,9175 22,9175 188,152675 187,9235 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-17 8,258 8,248 22,9537 22,9537 189,5516546 189,3221176 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-18 8,223 8,213 22,9296 22,9296 188,5501008 188,3208048 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-21 8,123 8,113 22,9797 22,9797 186,6641031 186,4343061 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-22 8,15 8,14 23,0299 23,0299 187,693685 187,463386 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-23 8,048 8,038 23,0068 23,0068 185,1587264 184,9286584 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-24 8,053 8,043 23,0091 23,0091 185,2922823 185,0621913 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-25 8,078 8,068 23,0583 23,0583 186,2649474 186,0343644 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-28 8,118 8,108 23,0778 23,0778 187,3455804 187,1148024 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-29 8,015 8,005 23,006 23,006 184,39309 184,16303 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-11-30 8,088 8,078 22,9777 22,9777 185,8436376 185,6138606 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-01 8,083 8,073 22,9465 22,9465 185,4765595 185,2470945 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-02 8,103 8,093 22,9586 22,9586 186,0335358 185,8039498 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-05 8,045 8,035 22,9104 22,9104 184,314168 184,085064 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-06 7,993 7,983 22,996 22,996 183,807028 183,577068 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-07 8,015 8,005 22,999 22,999 184,336985 184,106995 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-08 7,988 7,978 23,0449 23,0449 184,0826612 183,8522122 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-12 7,953 7,943 22,9841 22,9841 182,7925473 182,5627063 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-13 7,905 7,895 22,9909 22,9909 181,7430645 181,5131555 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-14 7,848 7,838 23,0828 23,0828 181,1538144 180,9229864 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-15 7,858 7,848 23,0527 23,0527 181,1481166 180,9175896 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-16 7,903 7,893 23,0936 23,0936 182,5087208 182,2777848 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-19 7,865 7,855 23,0911 23,0911 181,6115015 181,3805905 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-20 7,848 7,838 23,0626 23,0626 180,9952848 180,7646588 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-21 7,948 7,938 23,0469 23,0469 183,1767612 182,9462922 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-22 7,98 7,97 23,0833 23,0833 184,204734 183,973901 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-23 7,955 7,945 23,1581 23,1581 184,2226855 183,9911045 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-27 8,01 8 23,1867 23,1867 185,725467 185,4936 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-28 7,915 7,905 23,1534 23,1534 183,259161 183,027627 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-29 7,938 7,928 23,1495 23,1495 183,760731 183,529236 441832 SG Asset Management S.A. SGAM Fund Bonds US Mortgage-Backed Securities USD 2005-12-30 7,958 7,948 23,1559 23,1559 184,2746522 184,0430932 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-03 6,668 6,658 28,7139 28,7139 191,4642852 191,1771462 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-04 6,728 6,718 28,6092 28,6092 192,4826976 192,1966056 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-05 6,828 6,818 28,6299 28,6299 195,4849572 195,1986582 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-07 6,87 6,86 28,6511 28,6511 196,833057 196,546546 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-10 6,96091 6,95091 28,6523 28,6523 199,446081593 199,159558593 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-11 6,96091 6,95091 28,6957 28,6957 199,748185087 199,461228087 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-12 6,913 6,903 28,709 28,709 198,465317 198,178227 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-13 6,843 6,833 28,8039 28,8039 197,1050877 196,8170487 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-14 6,915 6,905 28,7476 28,7476 198,789654 198,502178 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-17 6,915 6,905 28,7485 28,7485 198,7958775 198,5083925 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-18 6,968 6,958 28,7834 28,7834 200,5627312 200,2748972 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-19 6,91 6,9 28,8064 28,8064 199,052224 198,76416 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-20 6,96 6,95 28,8211 28,8211 200,594856 200,306645 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-21 6,978 6,968 28,8591 28,8591 201,3787998 201,0902088 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-24 6,933 6,923 28,8912 28,8912 200,3026896 200,0137776 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-25 6,95 6,94 28,7868 28,7868 200,06826 199,780392 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-26 6,995 6,985 28,7898 28,7898 201,384651 201,096753 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-27 6,93 6,92 28,7672 28,7672 199,356696 199,069024 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-28 6,985 6,975 28,876 28,876 201,69886 201,4101 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-01-31 6,998 6,988 28,8888 28,8888 202,1638224 201,8749344 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-01 6,993 6,983 28,8798 28,8798 201,9564414 201,6676434 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-02 6,953 6,943 28,8823 28,8823 200,8186319 200,5298089 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-03 6,968 6,958 28,8686 28,8686 201,1564048 200,8677188 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-04 7,01 7 28,9969 28,9969 203,268269 202,9783 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-07 7,065 7,055 29,0503 29,0503 205,2403695 204,9498665 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-08 7,123 7,113 29,1181 29,1181 207,4082263 207,1170453 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-09 7,1 7,09 29,1472 29,1472 206,94512 206,653648 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-10 7,088 7,078 28,9942 28,9942 205,5108896 205,2209476 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-11 7,068 7,058 28,9917 28,9917 204,9133356 204,6234186 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-14 7,03 7,02 29,0287 29,0287 204,071761 203,781474 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-15 7,005 6,995 28,9802 28,9802 203,006301 202,716499 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-16 6,973 6,963 28,9165 28,9165 201,6347545 201,3455895 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-17 6,97 6,96 28,8619 28,8619 201,167443 200,878824 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-18 6,965 6,955 28,7575 28,7575 200,2959875 200,0084125 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-21 6,978 6,968 28,7592 28,7592 200,6816976 200,3941056 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-22 6,905 6,895 28,7153 28,7153 198,2791465 197,9919935 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-23 6,895 6,885 28,7539 28,7539 198,2581405 197,9706015 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-24 6,858 6,848 28,7166 28,7166 196,9384428 196,6512768 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-25 6,885 6,875 28,7508 28,7508 197,949258 197,66175 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-02-28 6,828 6,818 28,6312 28,6312 195,4938336 195,2075216 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-01 6,87 6,86 28,6519 28,6519 196,838553 196,552034 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-02 6,888 6,878 28,6376 28,6376 197,2557888 196,9694128 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-03 6,903 6,893 28,6344 28,6344 197,6632632 197,3769192 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-04 6,9 6,89 28,7377 28,7377 198,29013 198,002753 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-07 6,84 6,83 28,752 28,752 196,66368 196,37616 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-08 6,825 6,815 28,6416 28,6416 195,47892 195,192504 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-09 6,76 6,75 28,4693 28,4693 192,452468 192,167775 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-10 6,745 6,735 28,5274 28,5274 192,417313 192,132039 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-11 6,765 6,755 28,4687 28,4687 192,5907555 192,3060685 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-14 6,76 6,75 28,5066 28,5066 192,704616 192,41955 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-15 6,815 6,805 28,458 28,458 193,94127 193,65669 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-16 6,81 6,8 28,5035 28,5035 194,108835 193,8238 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-17 6,795 6,785 28,543 28,543 193,949685 193,664255 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-18 6,828 6,818 28,5002 28,5002 194,5993656 194,3143636 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-21 6,908 6,898 28,4811 28,4811 196,7474388 196,4626278 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-22 6,928 6,918 28,3608 28,3608 196,4836224 196,2000144 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-23 6,973 6,963 28,4292 28,4292 198,2368116 197,9525196 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-24 7,008 6,998 28,3728 28,3728 198,8365824 198,5528544 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-29 7,055 7,045 28,4445 28,4445 200,6759475 200,3915025 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-30 7,053 7,043 28,4911 28,4911 200,9477283 200,6628173 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-03-31 7,065 7,055 28,4911 28,4911 201,2896215 201,0047105 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-01 7,07 7,06 28,5996 28,5996 202,199172 201,913176 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-04 7,113 7,103 28,5893 28,5893 203,3556909 203,0697979 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-05 7,163 7,153 28,5717 28,5717 204,6590871 204,3733701 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-06 7,125 7,115 28,6143 28,6143 203,8768875 203,5907445 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-07 7,083 7,073 28,5265 28,5265 202,0531995 201,7679345 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-08 7,153 7,143 28,5661 28,5661 204,3333133 204,0476523 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-11 7,098 7,088 28,6197 28,6197 203,1426306 202,8564336 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-12 7,048 7,038 28,7183 28,7183 202,4065784 202,1193954 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-13 7,075 7,065 28,6947 28,6947 203,0150025 202,7280555 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-14 7,12 7,11 28,7383 28,7383 204,616696 204,329313 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-15 7,17 7,16 28,8663 28,8663 206,971371 206,682708 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-18 7,08 7,07 28,8239 28,8239 204,073212 203,784973 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-19 7,068 7,058 28,9241 28,9241 204,4355388 204,1462978 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-20 7,043 7,033 28,9388 28,9388 203,8159684 203,5265804 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-21 7,025 7,015 28,7938 28,7938 202,276445 201,988507 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-22 7,023 7,013 28,8757 28,8757 202,7940411 202,5052841 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-25 7,04 7,03 28,8967 28,8967 203,432768 203,143801 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-26 7,035 7,025 28,8731 28,8731 203,1222585 202,8335275 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-27 7,085 7,075 28,9196 28,9196 204,895366 204,60617 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-28 7,085 7,075 29,027 29,027 205,656295 205,366025 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-04-29 7,08 7,07 28,9593 28,9593 205,031844 204,742251 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-02 7,15 7,14 28,976 28,976 207,1784 206,88864 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-03 7,178 7,168 29,0045 29,0045 208,194301 207,904256 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-04 7,11 7,1 28,9903 28,9903 206,121033 205,83113 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-06 7,085 7,075 28,8515 28,8515 204,4128775 204,1243625 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-09 7,168 7,158 28,837 28,837 206,703616 206,415246 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-10 7,178 7,168 28,9323 28,9323 207,6760494 207,3867264 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-11 7,15 7,14 28,952 28,952 207,0068 206,71728 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-12 7,243 7,233 28,9894 28,9894 209,9702242 209,6803302 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-13 7,265 7,255 29,0316 29,0316 210,914574 210,624258 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-17 7,313 7,303 29,0604 29,0604 212,5187052 212,2281012 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-18 7,3 7,29 29,105 29,105 212,4665 212,17545 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-19 7,26 7,25 29,0653 29,0653 211,014078 210,723425 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-20 7,28 7,27 29,0663 29,0663 211,602664 211,312001 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-23 7,32 7,31 29,1588 29,1588 213,442416 213,150828 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-24 7,295 7,285 29,2056 29,2056 213,054852 212,762796 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-25 7,298 7,288 29,1211 29,1211 212,5257878 212,2345768 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-26 7,33 7,32 29,1198 29,1198 213,448134 213,156936 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-27 7,338 7,328 29,127 29,127 213,733926 213,442656 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-30 7,338 7,328 29,127 29,127 213,733926 213,442656 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-05-31 7,403 7,393 29,2716 29,2716 216,6976548 216,4049388 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-01 7,428 7,418 29,4233 29,4233 218,5562724 218,2620394 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-02 7,473 7,463 29,4097 29,4097 219,7786881 219,4845911 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-03 7,438 7,428 29,333 29,333 218,178854 217,885524 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-07 7,448 7,438 29,4318 29,4318 219,2080464 218,9137284 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-08 7,435 7,425 29,3847 29,3847 218,4752445 218,1813975 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-09 7,523 7,513 29,356 29,356 220,845188 220,551628 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-10 7,525 7,515 29,2179 29,2179 219,8646975 219,5725185 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-13 7,643 7,633 29,1564 29,1564 222,8423652 222,5508012 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-14 7,663 7,653 29,1141 29,1141 223,1013483 222,8102073 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-15 7,693 7,683 29,1185 29,1185 224,0086205 223,7174355 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-16 7,678 7,668 29,1726 29,1726 223,9872228 223,6954968 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-17 7,643 7,633 29,1858 29,1858 223,0670694 222,7752114 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-20 7,543 7,533 29,15 29,15 219,87845 219,58695 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-21 7,648 7,638 29,2401 29,2401 223,6282848 223,3358838 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-22 7,608 7,598 29,3542 29,3542 223,3267536 223,0332116 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-27 7,73 7,72 29,4527 29,4527 227,669371 227,374844 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-28 7,76 7,75 29,3653 29,3653 227,874728 227,581075 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-29 7,833 7,823 29,3564 29,3564 229,9486812 229,6551172 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-06-30 7,823 7,813 29,451 29,451 230,395173 230,100663 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-01 7,858 7,848 29,2913 29,2913 230,1710354 229,8781224 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-04 7,945 7,935 29,2917 29,2917 232,7225565 232,4296395 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-05 7,963 7,953 29,1912 29,1912 232,4495256 232,1576136 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-06 7,895 7,885 29,2422 29,2422 230,867169 230,574747 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-07 7,878 7,868 29,2518 29,2518 230,4456804 230,1531624 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-08 7,913 7,903 29,2259 29,2259 231,2645467 230,9722877 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-11 7,89 7,88 29,221 29,221 230,55369 230,26148 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-12 7,77 7,76 29,1652 29,1652 226,613604 226,321952 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-13 7,703 7,693 29,1456 29,1456 224,5085568 224,2171008 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-15 7,76 7,75 29,1281 29,1281 226,034056 225,742775 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-18 7,78 7,77 29,0462 29,0462 225,979436 225,688974 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-19 7,878 7,868 29,1028 29,1028 229,2718584 228,9808304 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-20 7,818 7,808 29,1435 29,1435 227,843883 227,552448 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-21 7,775 7,765 29,004 29,004 225,5061 225,21606 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-22 7,758 7,748 29,0871 29,0871 225,6577218 225,3668508 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-25 7,838 7,828 29,043 29,043 227,639034 227,348604 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-26 7,818 7,808 29,0712 29,0712 227,2786416 226,9879296 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-27 7,905 7,895 29,0455 29,0455 229,6046775 229,3142225 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-28 7,848 7,838 29,1318 29,1318 228,6263664 228,3350484 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-07-29 7,748 7,738 29,0463 29,0463 225,0507324 224,7602694 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-01 7,72 7,71 29,0004 29,0004 223,883088 223,593084 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-02 7,7 7,69 28,968 28,968 223,0536 222,76392 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-03 7,685 7,675 29,0309 29,0309 223,1024665 222,8121575 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-04 7,618 7,608 29,0104 29,0104 221,0012272 220,7111232 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-05 7,548 7,538 28,9478 28,9478 218,4979944 218,2085164 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-08 7,558 7,548 28,8978 28,8978 218,4095724 218,1205944 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-09 7,548 7,538 28,9293 28,9293 218,3583564 218,0690634 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-10 7,558 7,548 28,9338 28,9338 218,6816604 218,3923224 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-11 7,523 7,513 29,0117 29,0117 218,2550191 217,9649021 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-12 7,46 7,45 29,0355 29,0355 216,60483 216,314475 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-16 7,523 7,513 29,1278 29,1278 219,1284394 218,8371614 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-17 7,605 7,595 29,0504 29,0504 220,928292 220,637788 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-18 7,61 7,6 29,1265 29,1265 221,652665 221,3614 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-19 7,698 7,688 29,1268 29,1268 224,2181064 223,9268384 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-22 7,69 7,68 29,1252 29,1252 223,972788 223,681536 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-23 7,663 7,653 29,17 29,17 223,52971 223,23801 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-24 7,673 7,663 29,1855 29,1855 223,9403415 223,6484865 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-25 7,588 7,578 29,2052 29,2052 221,6090576 221,3170056 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-26 7,578 7,568 29,1868 29,1868 221,1775704 220,8857024 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-29 7,573 7,563 29,2105 29,2105 221,2111165 220,9190115 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-30 7,633 7,623 29,3072 29,3072 223,7018576 223,4087856 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-08-31 7,668 7,658 29,4184 29,4184 225,5802912 225,2861072 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-01 7,568 7,558 29,3894 29,3894 222,4189792 222,1250852 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-02 7,435 7,425 29,412 29,412 218,67822 218,3841 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-05 7,41 7,4 29,4135 29,4135 217,954035 217,6599 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-06 7,485 7,475 29,3206 29,3206 219,464691 219,171485 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-07 7,43 7,42 29,2437 29,2437 217,280691 216,988254 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-08 7,498 7,488 29,23 29,23 219,16654 218,87424 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-09 7,523 7,513 29,2847 29,2847 220,3087981 220,0159511 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-12 7,555 7,545 29,2101 29,2101 220,6823055 220,3902045 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-13 7,57 7,56 29,2668 29,2668 221,549676 221,257008 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-14 7,61 7,6 29,2277 29,2277 222,422797 222,13052 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-15 7,658 7,648 29,1509 29,1509 223,2375922 222,9460832 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-16 7,613 7,603 29,0831 29,0831 221,4096403 221,1188093 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-19 7,698 7,688 29,1311 29,1311 224,2512078 223,9598968 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-20 7,688 7,678 29,1165 29,1165 223,847652 223,556487 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-21 7,663 7,653 29,2098 29,2098 223,8346974 223,5425994 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-22 7,648 7,638 29,2037 29,2037 223,3498976 223,0578606 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-23 7,733 7,723 29,09 29,09 224,95297 224,66207 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-26 7,798 7,788 29,0733 29,0733 226,7135934 226,4228604 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-27 7,825 7,815 29,082 29,082 227,56665 227,27583 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-28 7,81 7,8 29,1127 29,1127 227,370187 227,07906 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-29 7,785 7,775 29,0649 29,0649 226,2702465 225,9795975 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-09-30 7,785 7,775 29,0259 29,0259 225,9666315 225,6763725 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-03 7,783 7,773 28,9435 28,9435 225,2672605 224,9778255 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-04 7,82 7,81 28,9487 28,9487 226,378834 226,089347 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-05 7,795 7,785 28,9738 28,9738 225,850771 225,561033 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-06 7,713 7,703 28,8947 28,8947 222,8648211 222,5758741 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-07 7,683 7,673 28,9326 28,9326 222,2891658 221,9998398 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-10 7,698 7,688 28,946 28,946 222,826308 222,536848 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-11 7,77 7,76 28,9212 28,9212 224,717724 224,428512 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-12 7,805 7,795 28,8307 28,8307 225,0236135 224,7353065 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-13 7,83 7,82 28,8038 28,8038 225,533754 225,245716 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-14 7,833 7,823 28,7622 28,7622 225,2943126 225,0066906 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-17 7,835 7,825 28,7628 28,7628 225,356538 225,06891 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-18 7,893 7,883 28,7992 28,7992 227,3120856 227,0240936 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-19 7,96 7,95 28,7885 28,7885 229,15646 228,868575 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-20 7,93 7,92 28,8285 28,8285 228,610005 228,32172 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-21 7,883 7,873 28,8861 28,8861 227,7091263 227,4202653 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-24 7,995 7,985 28,8258 28,8258 230,462271 230,174013 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-25 7,99 7,98 28,7184 28,7184 229,460016 229,172832 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-26 7,868 7,858 28,6487 28,6487 225,4079716 225,1214846 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-27 7,868 7,858 28,6685 28,6685 225,563758 225,277073 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-28 7,825 7,815 28,6449 28,6449 224,1463425 223,8598935 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-10-31 7,905 7,895 28,6564 28,6564 226,528842 226,242278 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-02 7,98 7,97 28,6161 28,6161 228,356478 228,070317 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-03 8,01 8 28,5622 28,5622 228,783222 228,4976 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-04 8,028 8,018 28,5285 28,5285 229,026798 228,741513 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-07 8,135 8,125 28,5459 28,5459 232,2208965 231,9354375 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-08 8,17 8,16 28,604 28,604 233,69468 233,40864 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-09 8,12 8,11 28,5171 28,5171 231,558852 231,273681 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-10 8,173 8,163 28,608 28,608 233,813184 233,527104 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-14 8,133 8,123 28,5341 28,5341 232,0678353 231,7824943 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-15 8,185 8,175 28,5936 28,5936 234,038616 233,75268 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-16 8,21 8,2 28,7077 28,7077 235,690217 235,40314 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-17 8,258 8,248 28,7299 28,7299 237,2515142 236,9642152 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-18 8,223 8,213 28,6857 28,6857 235,8825111 235,5956541 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-21 8,123 8,113 28,7247 28,7247 233,3307381 233,0434911 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-22 8,15 8,14 28,7598 28,7598 234,39237 234,104772 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-23 8,048 8,038 28,6889 28,6889 230,8882672 230,6013782 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-24 8,053 8,043 28,6926 28,6926 231,0615078 230,7745818 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-25 8,078 8,068 28,7705 28,7705 232,408099 232,120394 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-28 8,118 8,108 28,8117 28,8117 233,8933806 233,6052636 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-29 8,015 8,005 28,706 28,706 230,07859 229,79153 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-11-30 8,088 8,078 28,6986 28,6986 232,1142768 231,8272908 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-01 8,083 8,073 28,6711 28,6711 231,7485013 231,4617903 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-02 8,103 8,093 28,6816 28,6816 232,4070048 232,1201888 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-05 8,045 8,035 28,6337 28,6337 230,3581165 230,0717795 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-06 7,993 7,983 28,7424 28,7424 229,7380032 229,4505792 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-07 8,015 8,005 28,6867 28,6867 229,9239005 229,6370335 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-08 7,988 7,978 28,7554 28,7554 229,6981352 229,4105812 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-12 7,953 7,943 28,6749 28,6749 228,0514797 227,7647307 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-13 7,905 7,895 28,7087 28,7087 226,9422735 226,6551865 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-14 7,848 7,838 28,7971 28,7971 225,9996408 225,7116698 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-15 7,858 7,848 28,7865 28,7865 226,204317 225,916452 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-16 7,903 7,893 28,8276 28,8276 227,8245228 227,5362468 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-19 7,865 7,855 28,8378 28,8378 226,809297 226,520919 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-20 7,848 7,838 28,8237 28,8237 226,2083976 225,9201606 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-21 7,948 7,938 28,8026 28,8026 228,9230648 228,6350388 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-22 7,98 7,97 28,8823 28,8823 230,480754 230,191931 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-23 7,955 7,945 28,972 28,972 230,47226 230,18254 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-27 8,01 8 29,0206 29,0206 232,455006 232,1648 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-28 7,915 7,905 28,9859 28,9859 229,4233985 229,1335395 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-29 7,938 7,928 29,0078 29,0078 230,2639164 229,9738384 672048 SG Asset Management S.A. SGAM Fund Bonds USD USD 2005-12-30 7,958 7,948 28,9787 28,9787 230,6124946 230,3227076 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-03 6,668 6,658 35,0715 35,0715 233,856762 233,506047 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-04 6,728 6,718 34,656 34,656 233,165568 232,819008 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-05 6,828 6,818 34,6958 34,6958 236,9029224 236,5559644 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-07 6,87 6,86 34,2941 34,2941 235,600467 235,257526 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-10 6,96091 6,95091 34,4534 34,4534 239,827016594 239,482482594 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-11 6,96091 6,95091 34,6131 34,6131 240,938673921 240,592542921 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-12 6,913 6,903 34,9835 34,9835 241,8409355 241,4911005 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-13 6,843 6,833 34,9125 34,9125 238,9062375 238,5571125 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-14 6,915 6,905 34,72 34,72 240,0888 239,7416 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-17 6,915 6,905 34,7628 34,7628 240,384762 240,037134 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-18 6,968 6,958 34,638 34,638 241,357584 241,011204 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-19 6,91 6,9 34,6994 34,6994 239,772854 239,42586 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-20 6,96 6,95 34,4683 34,4683 239,899368 239,554685 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-21 6,978 6,968 34,5514 34,5514 241,0996692 240,7541552 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-24 6,933 6,923 34,6959 34,6959 240,5466747 240,1997157 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-25 6,95 6,94 34,4071 34,4071 239,129345 238,785274 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-26 6,995 6,985 34,7003 34,7003 242,7285985 242,3815955 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-27 6,93 6,92 34,5929 34,5929 239,728797 239,382868 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-28 6,985 6,975 34,5838 34,5838 241,567843 241,222005 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-01-31 6,998 6,988 34,6276 34,6276 242,3239448 241,9776688 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-01 6,993 6,983 34,5528 34,5528 241,6277304 241,2822024 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-02 6,953 6,943 34,621 34,621 240,719813 240,373603 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-03 6,968 6,958 34,4257 34,4257 239,8782776 239,5340206 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-04 7,01 7 34,6106 34,6106 242,620306 242,2742 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-07 7,065 7,055 34,4202 34,4202 243,178713 242,834511 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-08 7,123 7,113 34,2111 34,2111 243,6856653 243,3435543 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-09 7,1 7,09 34,2465 34,2465 243,15015 242,807685 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-10 7,088 7,078 34,3442 34,3442 243,4316896 243,0882476 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-11 7,068 7,058 34,294 34,294 242,389992 242,047052 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-14 7,03 7,02 34,4587 34,4587 242,244661 241,900074 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-15 7,005 6,995 34,4833 34,4833 241,5555165 241,2106835 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-16 6,973 6,963 34,3746 34,3746 239,6940858 239,3503398 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-17 6,97 6,96 34,4639 34,4639 240,213383 239,868744 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-18 6,965 6,955 34,3294 34,3294 239,104271 238,760977 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-21 6,978 6,968 34,3406 34,3406 239,6287068 239,2853008 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-22 6,905 6,895 34,6605 34,6605 239,3307525 238,9841475 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-23 6,895 6,885 34,5226 34,5226 238,033327 237,688101 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-24 6,858 6,848 34,4586 34,4586 236,3170788 235,9724928 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-25 6,885 6,875 34,5261 34,5261 237,7121985 237,3669375 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-02-28 6,828 6,818 34,7258 34,7258 237,1077624 236,7605044 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-01 6,87 6,86 34,5568 34,5568 237,405216 237,059648 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-02 6,888 6,878 34,3601 34,3601 236,6723688 236,3287678 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-03 6,903 6,893 34,3396 34,3396 237,0462588 236,7028628 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-04 6,9 6,89 34,66 34,66 239,154 238,8074 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-07 6,84 6,83 34,5669 34,5669 236,437596 236,091927 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-08 6,825 6,815 34,7982 34,7982 237,497715 237,149733 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-09 6,76 6,75 34,7916 34,7916 235,191216 234,8433 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-10 6,745 6,735 34,802 34,802 234,73949 234,39147 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-11 6,765 6,755 34,886 34,886 236,00379 235,65493 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-14 6,76 6,75 34,6404 34,6404 234,169104 233,8227 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-15 6,815 6,805 34,7015 34,7015 236,4907225 236,1437075 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-16 6,81 6,8 34,8875 34,8875 237,583875 237,235 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-17 6,795 6,785 34,7708 34,7708 236,267586 235,919878 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-18 6,828 6,818 34,6108 34,6108 236,3225424 235,9764344 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-21 6,908 6,898 34,3928 34,3928 237,5854624 237,2415344 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-22 6,928 6,918 34,4921 34,4921 238,9612688 238,6163478 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-23 6,973 6,963 34,0992 34,0992 237,7737216 237,4327296 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-24 7,008 6,998 33,8121 33,8121 236,9551968 236,6170758 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-29 7,055 7,045 33,8554 33,8554 238,849847 238,511293 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-30 7,053 7,043 33,9704 33,9704 239,5932312 239,2535272 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-03-31 7,065 7,055 33,9704 33,9704 240,000876 239,661172 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-01 7,07 7,06 34,0509 34,0509 240,739863 240,399354 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-04 7,113 7,103 33,7893 33,7893 240,3432909 240,0053979 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-05 7,163 7,153 33,7647 33,7647 241,8565461 241,5188991 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-06 7,125 7,115 33,7434 33,7434 240,421725 240,084291 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-07 7,083 7,073 33,884 33,884 240,000372 239,661532 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-08 7,153 7,143 33,7751 33,7751 241,5932903 241,2555393 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-11 7,098 7,088 34,0289 34,0289 241,5371322 241,1968432 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-12 7,048 7,038 33,9047 33,9047 238,9603256 238,6212786 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-13 7,075 7,065 34,0461 34,0461 240,8761575 240,5356965 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-14 7,12 7,11 33,8154 33,8154 240,765648 240,427494 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-15 7,17 7,16 34,0889 34,0889 244,417413 244,076524 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-18 7,08 7,07 34,1798 34,1798 241,992984 241,651186 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-19 7,068 7,058 34,3061 34,3061 242,4755148 242,1324538 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-20 7,043 7,033 34,3943 34,3943 242,2390549 241,8951119 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-21 7,025 7,015 34,3692 34,3692 241,44363 241,099938 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-22 7,023 7,013 34,507 34,507 242,342661 241,997591 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-25 7,04 7,03 34,4428 34,4428 242,477312 242,132884 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-26 7,035 7,025 34,357 34,357 241,701495 241,357925 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-27 7,085 7,075 34,4037 34,4037 243,7502145 243,4061775 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-28 7,085 7,075 34,3784 34,3784 243,570964 243,22718 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-04-29 7,08 7,07 34,4774 34,4774 244,099992 243,755218 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-02 7,15 7,14 34,3649 34,3649 245,709035 245,365386 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-03 7,178 7,168 34,457 34,457 247,332346 246,987776 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-04 7,11 7,1 34,6226 34,6226 246,166686 245,82046 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-06 7,085 7,075 34,4277 34,4277 243,9202545 243,5759775 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-09 7,168 7,158 34,3086 34,3086 245,9240448 245,5809588 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-10 7,178 7,168 34,4359 34,4359 247,1808902 246,8365312 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-11 7,15 7,14 34,4007 34,4007 245,965005 245,620998 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-12 7,243 7,233 34,1509 34,1509 247,3549687 247,0134597 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-13 7,265 7,255 33,9548 33,9548 246,681622 246,342074 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-17 7,313 7,303 33,9776 33,9776 248,4781888 248,1384128 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-18 7,3 7,29 34,0224 34,0224 248,36352 248,023296 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-19 7,26 7,25 33,9368 33,9368 246,381168 246,0418 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-20 7,28 7,27 33,7526 33,7526 245,718928 245,381402 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-23 7,32 7,31 33,899 33,899 248,14068 247,80169 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-24 7,295 7,285 33,9751 33,9751 247,8483545 247,5086035 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-25 7,298 7,288 33,9594 33,9594 247,8357012 247,4961072 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-26 7,33 7,32 33,8136 33,8136 247,853688 247,515552 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-27 7,338 7,328 33,8261 33,8261 248,2159218 247,8776608 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-30 7,338 7,328 33,7659 33,7659 247,7741742 247,4365152 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-05-31 7,403 7,393 33,748 33,748 249,836444 249,498964 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-01 7,428 7,418 33,6771 33,6771 250,1534988 249,8167278 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-02 7,473 7,463 33,7176 33,7176 251,9716248 251,6344488 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-03 7,438 7,428 33,801 33,801 251,411838 251,073828 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-07 7,448 7,438 34,0051 34,0051 253,2699848 252,9299338 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-08 7,435 7,425 34,0963 34,0963 253,5059905 253,1650275 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-09 7,523 7,513 33,8089 33,8089 254,3443547 254,0062657 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-10 7,525 7,515 33,6401 33,6401 253,1417525 252,8053515 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-13 7,643 7,633 33,3511 33,3511 254,9024573 254,5689463 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-14 7,663 7,653 33,3944 33,3944 255,9012872 255,5673432 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-15 7,693 7,683 33,3793 33,3793 256,7869549 256,4531619 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-16 7,678 7,668 33,3628 33,3628 256,1595784 255,8259504 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-17 7,643 7,633 33,5606 33,5606 256,5036658 256,1680598 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-20 7,543 7,533 33,4355 33,4355 252,2039765 251,8696215 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-21 7,648 7,638 33,6427 33,6427 257,2993696 256,9629426 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-22 7,608 7,598 33,6086 33,6086 255,6942288 255,3581428 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-27 7,73 7,72 33,7213 33,7213 260,665649 260,328436 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-28 7,76 7,75 33,5318 33,5318 260,206768 259,87145 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-29 7,833 7,823 33,4562 33,4562 262,0624146 261,7278526 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-06-30 7,823 7,813 33,4926 33,4926 262,0126098 261,6776838 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-01 7,858 7,848 33,213 33,213 260,987754 260,655624 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-04 7,945 7,935 33,0929 33,0929 262,9230905 262,5921615 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-05 7,963 7,953 33,015 33,015 262,898445 262,568295 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-06 7,895 7,885 33,0322 33,0322 260,789219 260,458897 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-07 7,878 7,868 33,0517 33,0517 260,3812926 260,0507756 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-08 7,913 7,903 33,0722 33,0722 261,7003186 261,3695966 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-11 7,89 7,88 33,1719 33,1719 261,726291 261,394572 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-12 7,77 7,76 33,3916 33,3916 259,452732 259,118816 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-13 7,703 7,693 33,0993 33,0993 254,9639079 254,6329149 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-15 7,76 7,75 33,026 33,026 256,28176 255,9515 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-18 7,78 7,77 33,1188 33,1188 257,664264 257,333076 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-19 7,878 7,868 32,8845 32,8845 259,064091 258,735246 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-20 7,818 7,808 32,8272 32,8272 256,6430496 256,3147776 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-21 7,775 7,765 33,29 33,29 258,82975 258,49685 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-22 7,758 7,748 33,3244 33,3244 258,5306952 258,1974512 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-25 7,838 7,828 33,2033 33,2033 260,2474654 259,9154324 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-26 7,818 7,808 33,0674 33,0674 258,5209332 258,1902592 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-27 7,905 7,895 33,0749 33,0749 261,4570845 261,1263355 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-28 7,848 7,838 33,1266 33,1266 259,9775568 259,6462908 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-07-29 7,748 7,738 33,2785 33,2785 257,841818 257,509033 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-01 7,72 7,71 33,2709 33,2709 256,851348 256,518639 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-02 7,7 7,69 33,3111 33,3111 256,49547 256,162359 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-03 7,685 7,675 33,4677 33,4677 257,1992745 256,8645975 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-04 7,618 7,608 33,5083 33,5083 255,2662294 254,9311464 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-05 7,548 7,538 33,3733 33,3733 251,9016684 251,5679354 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-08 7,558 7,548 33,4269 33,4269 252,6405102 252,3062412 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-09 7,548 7,538 33,3584 33,3584 251,7892032 251,4556192 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-10 7,558 7,548 33,5678 33,5678 253,7054324 253,3697544 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-11 7,523 7,513 33,6712 33,6712 253,3084376 252,9717256 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-12 7,46 7,45 33,6819 33,6819 251,266974 250,930155 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-16 7,523 7,513 33,7034 33,7034 253,5506782 253,2136442 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-17 7,605 7,595 33,6638 33,6638 256,013199 255,676561 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-18 7,61 7,6 33,4113 33,4113 254,259993 253,92588 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-19 7,698 7,688 33,3466 33,3466 256,7021268 256,3686608 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-22 7,69 7,68 33,5361 33,5361 257,892609 257,557248 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-23 7,663 7,653 33,5102 33,5102 256,7886626 256,4535606 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-24 7,673 7,663 33,562 33,562 257,521226 257,185606 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-25 7,588 7,578 33,6569 33,6569 255,3885572 255,0519882 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-26 7,578 7,568 33,7556 33,7556 255,7999368 255,4623808 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-29 7,573 7,563 33,6116 33,6116 254,5406468 254,2045308 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-30 7,633 7,623 33,4329 33,4329 255,1933257 254,8589967 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-08-31 7,668 7,658 33,6764 33,6764 258,2306352 257,8938712 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-01 7,568 7,558 34,0673 34,0673 257,8213264 257,4806534 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-02 7,435 7,425 34,2319 34,2319 254,5141765 254,1718575 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-05 7,41 7,4 34,265 34,265 253,90365 253,561 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-06 7,485 7,475 34,1345 34,1345 255,4967325 255,1553875 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-07 7,43 7,42 34,0201 34,0201 252,769343 252,429142 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-08 7,498 7,488 33,9746 33,9746 254,7415508 254,4018048 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-09 7,523 7,513 34,1172 34,1172 256,6636956 256,3225236 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-12 7,555 7,545 33,8126 33,8126 255,454193 255,116067 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-13 7,57 7,56 33,7346 33,7346 255,370922 255,033576 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-14 7,61 7,6 33,8704 33,8704 257,753744 257,41504 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-15 7,658 7,648 33,7008 33,7008 258,0807264 257,7437184 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-16 7,613 7,603 33,5765 33,5765 255,6178945 255,2821295 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-19 7,698 7,688 33,5671 33,5671 258,3995358 258,0638648 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-20 7,688 7,678 33,5863 33,5863 258,2114744 257,8756114 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-21 7,663 7,653 33,7542 33,7542 258,6584346 258,3208926 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-22 7,648 7,638 33,5957 33,5957 256,9399136 256,6039566 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-23 7,733 7,723 33,3985 33,3985 258,2706005 257,9366155 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-26 7,798 7,788 33,2057 33,2057 258,9380486 258,6059916 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-27 7,825 7,815 33,0765 33,0765 258,8236125 258,4928475 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-28 7,81 7,8 33,0598 33,0598 258,197038 257,86644 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-29 7,785 7,775 33,0858 33,0858 257,572953 257,242095 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-09-30 7,785 7,775 33,1378 33,1378 257,977773 257,646395 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-03 7,783 7,773 32,7951 32,7951 255,2442633 254,9163123 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-04 7,82 7,81 32,8377 32,8377 256,790814 256,462437 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-05 7,795 7,785 32,9055 32,9055 256,4983725 256,1693175 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-06 7,713 7,703 33,0767 33,0767 255,1205871 254,7898201 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-07 7,683 7,673 33,0126 33,0126 253,6358058 253,3056798 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-10 7,698 7,688 32,9153 32,9153 253,3819794 253,0528264 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-11 7,77 7,76 32,8332 32,8332 255,113964 254,785632 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-12 7,805 7,795 32,7841 32,7841 255,8799005 255,5520595 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-13 7,83 7,82 32,5152 32,5152 254,594016 254,268864 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-14 7,833 7,823 32,7141 32,7141 256,2495453 255,9224043 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-17 7,835 7,825 32,6074 32,6074 255,478979 255,152905 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-18 7,893 7,883 32,4269 32,4269 255,9455217 255,6212527 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-19 7,96 7,95 32,5547 32,5547 259,135412 258,809865 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-20 7,93 7,92 32,5383 32,5383 258,028719 257,703336 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-21 7,883 7,873 32,6095 32,6095 257,0606885 256,7345935 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-24 7,995 7,985 32,6033 32,6033 260,6633835 260,3373505 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-25 7,99 7,98 32,7228 32,7228 261,455172 261,127944 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-26 7,868 7,858 32,5095 32,5095 255,784746 255,459651 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-27 7,868 7,858 32,6083 32,6083 256,5621044 256,2360214 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-28 7,825 7,815 32,5109 32,5109 254,3977925 254,0726835 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-10-31 7,905 7,895 32,2668 32,2668 255,069054 254,746386 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-02 7,98 7,97 32,3201 32,3201 257,914398 257,591197 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-03 8,01 8 32,23 32,23 258,1623 257,84 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-04 8,028 8,018 31,8571 31,8571 255,7487988 255,4302278 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-07 8,135 8,125 31,8261 31,8261 258,9053235 258,5870625 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-08 8,17 8,16 31,8711 31,8711 260,386887 260,068176 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-09 8,12 8,11 31,7838 31,7838 258,084456 257,766618 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-10 8,173 8,163 31,7601 31,7601 259,5752973 259,2576963 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-14 8,133 8,123 31,6485 31,6485 257,3972505 257,0807655 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-15 8,185 8,175 31,627 31,627 258,866995 258,550725 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-16 8,21 8,2 31,6478 31,6478 259,828438 259,51196 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-17 8,258 8,248 31,7818 31,7818 262,4541044 262,1362864 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-18 8,223 8,213 31,625 31,625 260,052375 259,736125 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-21 8,123 8,113 31,7641 31,7641 258,0197843 257,7021433 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-22 8,15 8,14 31,7128 31,7128 258,45932 258,142192 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-23 8,048 8,038 31,8489 31,8489 256,3199472 256,0014582 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-24 8,053 8,043 31,9019 31,9019 256,9060007 256,5869817 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-25 8,078 8,068 31,8026 31,8026 256,9014028 256,5833768 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-28 8,118 8,108 31,8967 31,8967 258,9374106 258,6184436 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-29 8,015 8,005 31,8044 31,8044 254,912266 254,594222 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-11-30 8,088 8,078 31,8534 31,8534 257,6302992 257,3117652 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-01 8,083 8,073 31,7518 31,7518 256,6497994 256,3322814 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-02 8,103 8,093 31,7325 31,7325 257,1284475 256,8111225 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-05 8,045 8,035 31,7656 31,7656 255,554252 255,236596 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-06 7,993 7,983 31,8284 31,8284 254,4044012 254,0861172 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-07 8,015 8,005 31,7306 31,7306 254,320759 254,003453 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-08 7,988 7,978 31,8832 31,8832 254,6830016 254,3641696 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-12 7,953 7,943 32,0445 32,0445 254,8499085 254,5294635 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-13 7,905 7,895 32,0318 32,0318 253,211379 252,891061 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-14 7,848 7,838 32,4022 32,4022 254,2924656 253,9684436 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-15 7,858 7,848 32,3174 32,3174 253,9501292 253,6269552 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-16 7,903 7,893 32,4718 32,4718 256,6246354 256,2999174 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-19 7,865 7,855 32,4463 32,4463 255,1901495 254,8656865 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-20 7,848 7,838 32,255 32,255 253,13724 252,81469 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-21 7,948 7,938 32,074 32,074 254,924152 254,603412 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-22 7,98 7,97 32,2279 32,2279 257,178642 256,856363 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-23 7,955 7,945 32,2763 32,2763 256,7579665 256,4352035 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-27 8,01 8 32,2266 32,2266 258,135066 257,8128 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-28 7,915 7,905 32,3191 32,3191 255,8056765 255,4824855 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-29 7,938 7,928 32,2294 32,2294 255,8369772 255,5146832 636217 SG Asset Management S.A. SGAM Fund Bonds World USD 2005-12-30 7,958 7,948 32,1698 32,1698 256,0072684 255,6855704 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-01-26 6,995 6,985 10,0073 10,0073 70,0010635 69,9009905 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-01-27 6,93 6,92 10,034 10,034 69,53562 69,43528 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-01-31 6,998 6,988 10,1229 10,1229 70,8400542 70,7388252 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-01 6,993 6,983 9,992 9,992 69,874056 69,774136 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-02 6,953 6,943 10,0869 10,0869 70,1342157 70,0333467 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-03 6,968 6,958 10,1178 10,1178 70,5008304 70,3996524 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-04 7,01 7 10,2534 10,2534 71,876334 71,7738 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-07 7,065 7,055 10,277 10,277 72,607005 72,504235 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-08 7,123 7,113 10,2765 10,2765 73,1995095 73,0967445 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-09 7,1 7,09 10,2793 10,2793 72,98303 72,880237 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-10 7,088 7,078 10,2782 10,2782 72,8518816 72,7490996 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-11 7,068 7,058 10,3823 10,3823 73,3820964 73,2782734 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-14 7,03 7,02 10,3829 10,3829 72,991787 72,887958 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-15 7,005 6,995 10,3711 10,3711 72,6495555 72,5458445 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-16 6,973 6,963 10,3457 10,3457 72,1405661 72,0371091 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-17 6,97 6,96 10,3651 10,3651 72,244747 72,141096 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-18 6,965 6,955 10,4272 10,4272 72,625448 72,521176 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-21 6,978 6,968 10,4587 10,4587 72,9808086 72,8762216 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-22 6,905 6,895 10,4145 10,4145 71,9121225 71,8079775 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-23 6,895 6,885 10,4629 10,4629 72,1416955 72,0370665 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-24 6,858 6,848 10,5771 10,5771 72,5377518 72,4319808 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-25 6,885 6,875 10,7329 10,7329 73,8960165 73,7886875 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-02-28 6,828 6,818 10,7271 10,7271 73,2446388 73,1373678 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-01 6,87 6,86 10,5049 10,5049 72,168663 72,063614 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-02 6,888 6,878 10,5327 10,5327 72,5492376 72,4439106 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-03 6,903 6,893 10,4488 10,4488 72,1280664 72,0235784 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-04 6,9 6,89 10,4523 10,4523 72,12087 72,016347 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-07 6,84 6,83 10,5727 10,5727 72,317268 72,211541 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-08 6,825 6,815 10,6372 10,6372 72,59889 72,492518 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-09 6,76 6,75 10,5976 10,5976 71,639776 71,5338 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-10 6,745 6,735 10,5891 10,5891 71,4234795 71,3175885 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-11 6,765 6,755 10,5959 10,5959 71,6812635 71,5753045 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-14 6,76 6,75 10,4817 10,4817 70,856292 70,751475 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-15 6,815 6,805 10,4949 10,4949 71,5227435 71,4177945 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-16 6,81 6,8 10,5369 10,5369 71,756289 71,65092 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-17 6,795 6,785 10,5282 10,5282 71,539119 71,433837 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-18 6,828 6,818 10,5567 10,5567 72,0811476 71,9755806 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-21 6,908 6,898 10,427 10,427 72,029716 71,925446 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-22 6,928 6,918 10,258 10,258 71,067424 70,964844 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-23 6,973 6,963 10,2544 10,2544 71,5039312 71,4013872 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-24 7,008 6,998 10,1586 10,1586 71,1914688 71,0898828 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-29 7,055 7,045 10,1395 10,1395 71,5341725 71,4327775 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-30 7,053 7,043 10,1869 10,1869 71,8482057 71,7463367 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-03-31 7,065 7,055 10,1869 10,1869 71,9704485 71,8685795 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-01 7,07 7,06 10,2622 10,2622 72,553754 72,451132 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-04 7,113 7,103 10,2554 10,2554 72,9466602 72,8441062 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-05 7,163 7,153 10,2961 10,2961 73,7509643 73,6480033 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-06 7,125 7,115 10,3241 10,3241 73,5592125 73,4559715 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-07 7,083 7,073 10,3905 10,3905 73,5959115 73,4920065 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-08 7,153 7,143 10,3345 10,3345 73,9226785 73,8193335 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-11 7,098 7,088 10,3074 10,3074 73,1619252 73,0588512 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-12 7,048 7,038 10,3554 10,3554 72,9848592 72,8813052 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-13 7,075 7,065 10,2804 10,2804 72,73383 72,631026 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-14 7,12 7,11 10,1209 10,1209 72,060808 71,959599 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-15 7,17 7,16 9,7912 9,7912 70,202904 70,104992 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-18 7,08 7,07 9,9063 9,9063 70,136604 70,037541 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-19 7,068 7,058 9,9047 9,9047 70,0064196 69,9073726 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-20 7,043 7,033 9,9234 9,9234 69,8905062 69,7912722 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-21 7,025 7,015 10,0958 10,0958 70,922995 70,822037 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-22 7,023 7,013 10,1041 10,1041 70,9610943 70,8600533 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-25 7,04 7,03 10,2069 10,2069 71,856576 71,754507 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-26 7,035 7,025 10,161 10,161 71,482635 71,381025 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-27 7,085 7,075 10,1592 10,1592 71,977932 71,87634 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-28 7,085 7,075 10,1105 10,1105 71,6328925 71,5317875 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-04-29 7,08 7,07 10,1139 10,1139 71,606412 71,505273 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-02 7,15 7,14 10,145 10,145 72,53675 72,4353 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-03 7,178 7,168 10,1402 10,1402 72,7863556 72,6849536 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-04 7,11 7,1 10,2599 10,2599 72,947889 72,84529 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-06 7,085 7,075 10,2439 10,2439 72,5780315 72,4755925 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-09 7,168 7,158 10,233 10,233 73,350144 73,247814 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-10 7,178 7,168 10,1537 10,1537 72,8832586 72,7817216 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-11 7,15 7,14 10,1391 10,1391 72,494565 72,393174 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-12 7,243 7,233 10,0272 10,0272 72,6270096 72,5267376 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-13 7,265 7,255 9,8461 9,8461 71,5319165 71,4334555 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-17 7,313 7,303 9,8501 9,8501 72,0337813 71,9352803 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-18 7,3 7,29 9,992 9,992 72,9416 72,84168 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-19 7,26 7,25 10,0572 10,0572 73,015272 72,9147 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-20 7,28 7,27 9,9838 9,9838 72,682064 72,582226 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-23 7,32 7,31 10,0057 10,0057 73,241724 73,141667 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-24 7,295 7,285 9,9058 9,9058 72,262811 72,163753 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-25 7,298 7,288 9,9146 9,9146 72,3567508 72,2576048 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-26 7,33 7,32 10,0728 10,0728 73,833624 73,732896 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-27 7,338 7,328 10,1257 10,1257 74,3023866 74,2011296 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-30 7,338 7,328 10,1623 10,1623 74,5709574 74,4693344 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-05-31 7,403 7,393 10,0805 10,0805 74,6259415 74,5251365 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-01 7,428 7,418 10,0441 10,0441 74,6075748 74,5071338 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-02 7,473 7,463 10,0718 10,0718 75,2665614 75,1658434 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-03 7,438 7,428 10,1894 10,1894 75,7887572 75,6868632 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-07 7,448 7,438 10,3046 10,3046 76,7486608 76,6456148 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-08 7,435 7,425 10,2151 10,2151 75,9492685 75,8471175 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-09 7,523 7,513 10,2885 10,2885 77,4003855 77,2975005 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-10 7,525 7,515 10,2666 10,2666 77,256165 77,153499 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-13 7,643 7,633 10,2074 10,2074 78,0151582 77,9130842 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-14 7,663 7,653 10,2168 10,2168 78,2913384 78,1891704 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-15 7,693 7,683 10,2187 10,2187 78,6124591 78,5102721 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-16 7,678 7,668 10,2314 10,2314 78,5566892 78,4543752 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-17 7,643 7,633 10,317 10,317 78,852831 78,749661 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-20 7,543 7,533 10,2942 10,2942 77,6491506 77,5462086 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-21 7,648 7,638 10,4457 10,4457 79,8887136 79,7842566 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-22 7,608 7,598 10,4631 10,4631 79,6032648 79,4986338 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-27 7,73 7,72 10,5389 10,5389 81,465697 81,360308 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-28 7,76 7,75 10,4391 10,4391 81,007416 80,903025 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-29 7,833 7,823 10,4147 10,4147 81,5783451 81,4741981 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-06-30 7,823 7,813 10,4079 10,4079 81,4210017 81,3169227 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-01 7,858 7,848 10,442 10,442 82,053236 81,948816 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-04 7,945 7,935 10,4102 10,4102 82,709039 82,604937 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-05 7,963 7,953 10,4195 10,4195 82,9704785 82,8662835 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-06 7,895 7,885 10,2973 10,2973 81,2971835 81,1942105 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-07 7,878 7,868 10,2291 10,2291 80,5848498 80,4825588 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-08 7,913 7,903 10,3499 10,3499 81,8987587 81,7952597 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-11 7,89 7,88 10,3248 10,3248 81,462672 81,359424 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-12 7,77 7,76 10,4418 10,4418 81,132786 81,028368 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-13 7,703 7,693 10,4649 10,4649 80,6111247 80,5064757 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-15 7,76 7,75 10,3822 10,3822 80,565872 80,46205 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-18 7,78 7,77 10,409 10,409 80,98202 80,87793 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-19 7,878 7,868 10,5097 10,5097 82,7954166 82,6903196 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-20 7,818 7,808 10,6435 10,6435 83,210883 83,104448 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-21 7,775 7,765 10,7187 10,7187 83,3378925 83,2307055 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-22 7,758 7,748 10,7506 10,7506 83,4031548 83,2956488 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-25 7,838 7,828 10,7305 10,7305 84,105659 83,998354 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-26 7,818 7,808 10,8311 10,8311 84,6775398 84,5692288 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-27 7,905 7,895 10,8485 10,8485 85,7573925 85,6489075 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-28 7,848 7,838 10,9684 10,9684 86,0800032 85,9703192 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-07-29 7,748 7,738 11,0347 11,0347 85,4968556 85,3865086 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-01 7,72 7,71 11,1604 11,1604 86,158288 86,046684 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-02 7,7 7,69 11,1274 11,1274 85,68098 85,569706 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-03 7,685 7,675 11,0826 11,0826 85,169781 85,058955 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-04 7,618 7,608 11,0652 11,0652 84,2946936 84,1840416 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-05 7,548 7,538 11,1556 11,1556 84,2024688 84,0909128 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-08 7,558 7,548 11,1186 11,1186 84,0343788 83,9231928 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-09 7,548 7,538 11,3664 11,3664 85,7935872 85,6799232 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-10 7,558 7,548 11,374 11,374 85,964692 85,850952 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-11 7,523 7,513 11,4776 11,4776 86,3459848 86,2312088 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-12 7,46 7,45 11,4834 11,4834 85,666164 85,55133 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-16 7,523 7,513 11,4387 11,4387 86,0533401 85,9389531 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-17 7,605 7,595 11,1483 11,1483 84,7828215 84,6713385 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-18 7,61 7,6 11,0405 11,0405 84,018205 83,9078 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-19 7,698 7,688 11,1908 11,1908 86,1467784 86,0348704 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-22 7,69 7,68 11,0355 11,0355 84,862995 84,75264 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-23 7,663 7,653 10,8962 10,8962 83,4975806 83,3886186 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-24 7,673 7,663 10,8941 10,8941 83,5904293 83,4814883 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-25 7,588 7,578 11,0273 11,0273 83,6751524 83,5648794 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-26 7,578 7,568 10,9123 10,9123 82,6934094 82,5842864 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-29 7,573 7,563 10,9682 10,9682 83,0621786 82,9524966 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-30 7,633 7,623 10,933 10,933 83,451589 83,342259 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-08-31 7,668 7,658 11,0646 11,0646 84,8433528 84,7327068 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-01 7,568 7,558 11,116 11,116 84,125888 84,014728 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-02 7,435 7,425 11,138 11,138 82,81103 82,69965 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-05 7,41 7,4 11,1005 11,1005 82,254705 82,1437 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-06 7,485 7,475 11,1493 11,1493 83,4525105 83,3410175 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-07 7,43 7,42 11,0613 11,0613 82,185459 82,074846 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-08 7,498 7,488 11,0724 11,0724 83,0208552 82,9101312 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-09 7,523 7,513 11,1619 11,1619 83,9709737 83,8593547 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-12 7,555 7,545 11,0965 11,0965 83,8340575 83,7230925 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-13 7,57 7,56 11,0873 11,0873 83,930861 83,819988 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-14 7,61 7,6 11,1221 11,1221 84,639181 84,52796 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-15 7,658 7,648 11,1131 11,1131 85,1041198 84,9929888 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-16 7,613 7,603 11,116 11,116 84,626108 84,514948 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-19 7,698 7,688 11,3159 11,3159 87,1097982 86,9966392 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-20 7,688 7,678 11,2888 11,2888 86,7882944 86,6754064 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-21 7,663 7,653 11,2588 11,2588 86,2761844 86,1635964 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-22 7,648 7,638 11,1761 11,1761 85,4748128 85,3630518 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-23 7,733 7,723 11,17 11,17 86,37761 86,26591 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-26 7,798 7,788 11,1566 11,1566 86,9991668 86,8876008 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-27 7,825 7,815 11,1856 11,1856 87,52732 87,415464 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-28 7,81 7,8 11,504 11,504 89,84624 89,7312 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-29 7,785 7,775 11,5762 11,5762 90,120717 90,004955 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-09-30 7,785 7,775 11,6412 11,6412 90,626742 90,51033 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-03 7,783 7,773 11,6417 11,6417 90,6073511 90,4909341 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-04 7,82 7,81 11,4646 11,4646 89,653172 89,538526 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-05 7,795 7,785 11,1981 11,1981 87,2891895 87,1772085 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-06 7,713 7,703 11,1989 11,1989 86,3771157 86,2651267 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-07 7,683 7,673 11,2521 11,2521 86,4498843 86,3373633 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-10 7,698 7,688 11,2638 11,2638 86,7087324 86,5960944 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-11 7,77 7,76 11,0172 11,0172 85,603644 85,493472 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-12 7,805 7,795 10,9994 10,9994 85,850317 85,740323 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-13 7,83 7,82 10,8023 10,8023 84,582009 84,473986 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-14 7,833 7,823 10,8404 10,8404 84,9128532 84,8044492 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-17 7,835 7,825 10,9192 10,9192 85,551932 85,44274 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-18 7,893 7,883 10,6916 10,6916 84,3887988 84,2818828 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-19 7,96 7,95 10,7453 10,7453 85,532588 85,425135 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-20 7,93 7,92 10,6932 10,6932 84,797076 84,690144 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-21 7,883 7,873 10,5969 10,5969 83,5353627 83,4293937 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-24 7,995 7,985 10,5517 10,5517 84,3608415 84,2553245 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-25 7,99 7,98 10,4803 10,4803 83,737597 83,632794 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-26 7,868 7,858 10,4062 10,4062 81,8759816 81,7719196 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-27 7,868 7,858 10,2982 10,2982 81,0262376 80,9232556 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-28 7,825 7,815 10,4169 10,4169 81,5122425 81,4080735 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-10-31 7,905 7,895 10,7102 10,7102 84,664131 84,557029 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-02 7,98 7,97 10,7441 10,7441 85,737918 85,630477 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-03 8,01 8 10,7893 10,7893 86,422293 86,3144 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-04 8,028 8,018 10,6001 10,6001 85,0976028 84,9916018 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-07 8,135 8,125 10,5924 10,5924 86,169174 86,06325 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-08 8,17 8,16 10,7153 10,7153 87,544001 87,436848 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-09 8,12 8,11 10,7532 10,7532 87,315984 87,208452 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-10 8,173 8,163 10,7415 10,7415 87,7902795 87,6828645 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-14 8,133 8,123 10,7253 10,7253 87,2288649 87,1216119 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-15 8,185 8,175 10,7192 10,7192 87,736652 87,62946 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-16 8,21 8,2 10,8082 10,8082 88,735322 88,62724 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-17 8,258 8,248 10,8933 10,8933 89,9568714 89,8479384 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-18 8,223 8,213 10,8907 10,8907 89,5542261 89,4453191 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-21 8,123 8,113 10,8925 10,8925 88,4797775 88,3708525 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-22 8,15 8,14 10,9838 10,9838 89,51797 89,408132 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-23 8,048 8,038 10,9991 10,9991 88,5207568 88,4107658 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-24 8,053 8,043 11,0025 11,0025 88,6031325 88,4931075 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-25 8,078 8,068 11,0378 11,0378 89,1633484 89,0529704 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-28 8,118 8,108 10,9444 10,9444 88,8466392 88,7371952 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-29 8,015 8,005 10,9806 10,9806 88,009509 87,899703 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-11-30 8,088 8,078 11,1192 11,1192 89,9320896 89,8208976 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-01 8,083 8,073 11,2306 11,2306 90,7769398 90,6646338 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-02 8,103 8,093 11,2222 11,2222 90,9334866 90,8212646 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-05 8,045 8,035 11,1304 11,1304 89,544068 89,432764 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-06 7,993 7,983 11,2701 11,2701 90,0819093 89,9692083 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-07 8,015 8,005 11,217 11,217 89,904255 89,792085 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-08 7,988 7,978 11,1965 11,1965 89,437642 89,325677 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-12 7,953 7,943 11,2296 11,2296 89,3090088 89,1967128 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-13 7,905 7,895 11,2221 11,2221 88,7107005 88,5984795 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-14 7,848 7,838 11,2548 11,2548 88,3276704 88,2151224 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-15 7,858 7,848 11,2114 11,2114 88,0991812 87,9870672 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-16 7,903 7,893 11,3284 11,3284 89,5283452 89,4150612 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-19 7,865 7,855 11,3056 11,3056 88,918544 88,805488 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-20 7,848 7,838 11,335 11,335 88,95708 88,84373 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-21 7,948 7,938 11,3088 11,3088 89,8823424 89,7692544 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-22 7,98 7,97 11,328 11,328 90,39744 90,28416 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-23 7,955 7,945 11,3304 11,3304 90,133332 90,020028 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-27 8,01 8 11,3147 11,3147 90,630747 90,5176 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-28 7,915 7,905 11,2877 11,2877 89,3421455 89,2292685 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-29 7,938 7,928 11,2635 11,2635 89,409663 89,297028 337352 SG Asset Management S.A. SGAM Fund Equities China USD 2005-12-30 7,958 7,948 11,2681 11,2681 89,6715398 89,5588588 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-03 9,0065 9,0015 19,3881 19,3881 174,61892265 174,52198215 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-04 9,0345 9,0295 19,2778 19,2778 174,1652841 174,0688951 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-05 9,0615 9,0565 18,9805 18,9805 171,99180075 171,89689825 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-07 9,0615 9,0565 19,1132 19,1132 173,1942618 173,0986958 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-10 9,08619 9,08119 18,9799 18,9799 172,454977581 172,360078081 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-11 9,08619 9,08119 19,136 19,136 173,87333184 173,77765184 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-12 9,0455 9,0405 19,0451 19,0451 172,27245205 172,17722655 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-13 9,0505 9,0455 19,105 19,105 172,9098025 172,8142775 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-14 9,0455 9,0405 19,4059 19,4059 175,53606845 175,43903895 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-17 9,0685 9,0635 19,4408 19,4408 176,2988948 176,2016908 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-18 9,0585 9,0535 19,0453 19,0453 172,52185005 172,42662355 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-19 9,0225 9,0175 19,0696 19,0696 172,055466 171,960118 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-20 9,0315 9,0265 19,0176 19,0176 171,7574544 171,6623664 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-21 9,0505 9,0455 18,9919 18,9919 171,88619095 171,79123145 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-24 9,0655 9,0605 19,112 19,112 173,259836 173,164276 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-25 9,0715 9,0665 19,4023 19,4023 176,00796445 175,91095295 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-26 9,0885 9,0835 19,3114 19,3114 175,5116589 175,4151019 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-27 9,0675 9,0625 19,5218 19,5218 177,0139215 176,9163125 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-28 9,0955 9,0905 19,9108 19,9108 181,0986814 180,9991274 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-01-31 9,1075 9,1025 19,9764 19,9764 181,935063 181,835181 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-01 9,1035 9,0985 20,15 20,15 183,435525 183,334775 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-02 9,0905 9,0855 20,2362 20,2362 183,9571761 183,8559951 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-03 9,0695 9,0645 20,5199 20,5199 186,10523305 186,00263355 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-04 9,0895 9,0845 20,6817 20,6817 187,98631215 187,88290365 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-07 9,0755 9,0705 20,9255 20,9255 189,90937525 189,80474775 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-08 9,0895 9,0845 21,0052 21,0052 190,9267654 190,8217394 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-09 9,0695 9,0645 20,8718 20,8718 189,2967901 189,1924311 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-10 9,0805 9,0755 20,8211 20,8211 189,06599855 188,96189305 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-11 9,0935 9,0885 20,7623 20,7623 188,80197505 188,69816355 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-14 9,1105 9,1055 20,8639 20,8639 190,08056095 189,97624145 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-15 9,0765 9,0715 21,0836 21,0836 191,3652954 191,2598774 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-16 9,0705 9,0655 21,302 21,302 193,219791 193,113281 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-17 9,0925 9,0875 21,4599 21,4599 195,12414075 195,01684125 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-18 9,0945 9,0895 21,4577 21,4577 195,14705265 195,03976415 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-21 9,1185 9,1135 21,625 21,625 197,1875625 197,0794375 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-22 9,0975 9,0925 21,4959 21,4959 195,55895025 195,45147075 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-23 9,1045 9,0995 21,5104 21,5104 195,8414368 195,7338848 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-24 9,0715 9,0665 21,9067 21,9067 198,72662905 198,61709555 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-25 9,0845 9,0795 22,4744 22,4744 204,1686868 204,0563148 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-02-28 9,0505 9,0455 22,5978 22,5978 204,5213889 204,4083999 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-01 9,0565 9,0515 22,6406 22,6406 205,0445939 204,9313909 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-02 9,0645 9,0595 22,1044 22,1044 200,3653338 200,2548118 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-03 9,0675 9,0625 22,0463 22,0463 199,90482525 199,79459375 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-04 9,0415 9,0365 22,2531 22,2531 201,20140365 201,09013815 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-07 9,0425 9,0375 22,6338 22,6338 204,6661365 204,5529675 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-08 9,0345 9,0295 22,4016 22,4016 202,3872552 202,2752472 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-09 9,0365 9,0315 22,4537 22,4537 202,90286005 202,79059155 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-10 9,0655 9,0605 21,9063 21,9063 198,59156265 198,48203115 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-11 9,0795 9,0745 21,7588 21,7588 197,5590246 197,4502306 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-14 9,0695 9,0645 21,5158 21,5158 195,1375481 195,0299691 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-15 9,1035 9,0985 21,4677 21,4677 195,43120695 195,32386845 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-16 9,0975 9,0925 20,491 20,491 186,4168725 186,3144175 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-17 9,1045 9,0995 20,4979 20,4979 186,62313055 186,52064105 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-18 9,1035 9,0985 20,7163 20,7163 188,59083705 188,48725555 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-21 9,1265 9,1215 20,2908 20,2908 185,1839862 185,0825322 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-22 9,1265 9,1215 20,7688 20,7688 189,5464532 189,4426092 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-23 9,1165 9,1115 20,4898 20,4898 186,7952617 186,6928127 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-24 9,1135 9,1085 21,0337 21,0337 191,69062495 191,58545645 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-29 9,1315 9,1265 20,8293 20,8293 190,20275295 190,09860645 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-30 9,1425 9,1375 20,6222 20,6222 188,5384635 188,4353525 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-03-31 9,1405 9,1355 20,6222 20,6222 188,4972191 188,3941081 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-01 9,1645 9,1595 21,2038 21,2038 194,3222251 194,2162061 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-04 9,1695 9,1645 21,2046 21,2046 194,4355797 194,3295567 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-05 9,1745 9,1695 21,3741 21,3741 196,09668045 195,98980995 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-06 9,1705 9,1655 21,7012 21,7012 199,0108546 198,9023486 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-07 9,1505 9,1455 21,7213 21,7213 198,76075565 198,65214915 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-08 9,1625 9,1575 21,8125 21,8125 199,85703125 199,74796875 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-11 9,1705 9,1655 21,4317 21,4317 196,53940485 196,43224635 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-12 9,1525 9,1475 21,4486 21,4486 196,3083115 196,2010685 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-13 9,1495 9,1445 21,4729 21,4729 196,46629855 196,35893405 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-14 9,1685 9,1635 21,2035 21,2035 194,40428975 194,29827225 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-15 9,1925 9,1875 20,8746 20,8746 191,8897605 191,7853875 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-18 9,1805 9,1755 20,2816 20,2816 186,1952288 186,0938208 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-19 9,2035 9,1985 20,2711 20,2711 186,56506885 186,46371335 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-20 9,1915 9,1865 20,2719 20,2719 186,32916885 186,22780935 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-21 9,1855 9,1805 20,3022 20,3022 186,4858581 186,3843471 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-22 9,1625 9,1575 20,445 20,445 187,3273125 187,2250875 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-25 9,1685 9,1635 20,6811 20,6811 189,61466535 189,51125985 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-26 9,1375 9,1325 20,5781 20,5781 188,03238875 187,92949825 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-27 9,1465 9,1415 20,2017 20,2017 184,77484905 184,67384055 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-28 9,1505 9,1455 19,8992 19,8992 182,0876296 181,9881336 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-04-29 9,1705 9,1655 19,9495 19,9495 182,94688975 182,84714225 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-02 9,1935 9,1885 20,089 20,089 184,6882215 184,5877765 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-03 9,2245 9,2195 19,9745 19,9745 184,25477525 184,15490275 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-04 9,1915 9,1865 20,113 20,113 184,8686395 184,7680745 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-06 9,1715 9,1665 20,1653 20,1653 184,94604895 184,84522245 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-09 9,1815 9,1765 20,1937 20,1937 185,40845655 185,30748805 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-10 9,1985 9,1935 19,9833 19,9833 183,81638505 183,71646855 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-11 9,2105 9,2055 19,895 19,895 183,2428975 183,1434225 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-12 9,2315 9,2265 19,7873 19,7873 182,66645995 182,56752345 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-13 9,2045 9,1995 19,4144 19,4144 178,6998448 178,6027728 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-17 9,2325 9,2275 19,7234 19,7234 182,0962905 181,9976735 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-18 9,2095 9,2045 20,0711 20,0711 184,84479545 184,74443995 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-19 9,1905 9,1855 20,2341 20,2341 185,96149605 185,86032555 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-20 9,1955 9,1905 20,3702 20,3702 187,3141741 187,2123231 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-23 9,1805 9,1755 20,294 20,294 186,309067 186,207597 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-24 9,1815 9,1765 20,5879 20,5879 189,02780385 188,92486435 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-25 9,1785 9,1735 20,345 20,345 186,7365825 186,6348575 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-26 9,1945 9,1895 20,5749 20,5749 189,17591805 189,07304355 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-27 9,1955 9,1905 20,6762 20,6762 190,1279971 190,0246161 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-30 9,1905 9,1855 20,7598 20,7598 190,7929419 190,6891429 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-05-31 9,1665 9,1615 21,0203 21,0203 192,68257995 192,57747845 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-01 9,1455 9,1405 21,027 21,027 192,3024285 192,1972935 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-02 9,1565 9,1515 21,1507 21,1507 193,66638455 193,56063105 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-03 9,1315 9,1265 21,2829 21,2829 194,34480135 194,23838685 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-07 9,1455 9,1405 21,4359 21,4359 196,04202345 195,93484395 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-08 9,1455 9,1405 21,306 21,306 194,854023 194,747493 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-09 9,1965 9,1915 21,3919 21,3919 196,73060835 196,62364885 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-10 9,1975 9,1925 21,7798 21,7798 200,3197105 200,2108115 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-13 9,2365 9,2315 21,9772 21,9772 202,9924078 202,8825218 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-14 9,2985 9,2935 21,9931 21,9931 204,50284035 204,39287485 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-15 9,2695 9,2645 21,9329 21,9329 203,30701655 203,19735205 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-16 9,2695 9,2645 22,0727 22,0727 204,60289265 204,49252915 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-17 9,2695 9,2645 21,9774 21,9774 203,7195093 203,6096223 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-20 9,2255 9,2205 22,1778 22,1778 204,6012939 204,4904049 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-21 9,2725 9,2675 22,2145 22,2145 205,98395125 205,87287875 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-22 9,2615 9,2565 22,6413 22,6413 209,69239995 209,57919345 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-27 9,3855 9,3805 22,2151 22,2151 208,49982105 208,38874555 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-28 9,3995 9,3945 22,4204 22,4204 210,7405498 210,6284478 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-29 9,4215 9,4165 22,3773 22,3773 210,82773195 210,71584545 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-06-30 9,4415 9,4365 22,5836 22,5836 213,2230594 213,1101414 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-01 9,4595 9,4545 23,154 23,154 219,025263 218,909493 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-04 9,4795 9,4745 23,4192 23,4192 222,0023064 221,8852104 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-05 9,4575 9,4525 23,3304 23,3304 220,647258 220,530606 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-06 9,4195 9,4145 23,7543 23,7543 223,75362885 223,63485735 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-07 9,3965 9,3915 23,4568 23,4568 220,4118212 220,2945372 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-08 9,4175 9,4125 23,8134 23,8134 224,2626945 224,1436275 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-11 9,4665 9,4615 23,6019 23,6019 223,42738635 223,30937685 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-12 9,4645 9,4595 23,5399 23,5399 222,79338355 222,67568405 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-13 9,3915 9,3865 23,8341 23,8341 223,83795015 223,71877965 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-15 9,4055 9,4005 23,6694 23,6694 222,6225417 222,5041947 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-18 9,3895 9,3845 23,5537 23,5537 221,15746615 221,03969765 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-19 9,4425 9,4375 23,7631 23,7631 224,38307175 224,26425625 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-20 9,4265 9,4215 23,9708 23,9708 225,9607462 225,8408922 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-21 9,4625 9,4575 23,7519 23,7519 224,75235375 224,63359425 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-22 9,4495 9,4445 23,9239 23,9239 226,06889305 225,94927355 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-25 9,4275 9,4225 24,1422 24,1422 227,6005905 227,4798795 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-26 9,4155 9,4105 24,0885 24,0885 226,80527175 226,68482925 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-27 9,4725 9,4675 24,2955 24,2955 230,13912375 230,01764625 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-28 9,4515 9,4465 24,5716 24,5716 232,2384774 232,1156194 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-07-29 9,3885 9,3835 24,5522 24,5522 230,5083297 230,3855687 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-01 9,3985 9,3935 24,6809 24,6809 231,96343865 231,84003415 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-02 9,3995 9,3945 25,0792 25,0792 235,7319404 235,6065444 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-03 9,3755 9,3705 24,7064 24,7064 231,6348532 231,5113212 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-04 9,3735 9,3685 24,8397 24,8397 232,83492795 232,71072945 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-05 9,3355 9,3305 25,0955 25,0955 234,27904025 234,15356275 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-08 9,3335 9,3285 25,3072 25,3072 236,2047512 236,0782152 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-09 9,3455 9,3405 25,4579 25,4579 237,91680445 237,78951495 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-10 9,3535 9,3485 25,4017 25,4017 237,59480095 237,46779245 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-11 9,3365 9,3315 25,0764 25,0764 234,1258086 234,0004266 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-12 9,3025 9,2975 25,0143 25,0143 232,69552575 232,57045425 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-16 9,2995 9,2945 25,5539 25,5539 237,63849305 237,51072355 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-17 9,3405 9,3355 25,4957 25,4957 238,14258585 238,01510735 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-18 9,3365 9,3315 25,5481 25,5481 238,52983565 238,40209515 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-19 9,3395 9,3345 25,719 25,719 240,2026005 240,0740055 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-22 9,3655 9,3605 25,7785 25,7785 241,42854175 241,29964925 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-23 9,3715 9,3665 25,8299 25,8299 242,06490785 241,93575835 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-24 9,3365 9,3315 25,8256 25,8256 241,1207144 240,9915864 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-25 9,3335 9,3285 25,8773 25,8773 241,52577955 241,39639305 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-26 9,3415 9,3365 26,0175 26,0175 243,04247625 242,91238875 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-29 9,3295 9,3245 26,1457 26,1457 243,92630815 243,79557965 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-30 9,3285 9,3235 26,4795 26,4795 247,01401575 246,88161825 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-08-31 9,3585 9,3535 26,5487 26,5487 248,45600895 248,32326545 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-01 9,3365 9,3315 26,7946 26,7946 250,1677829 250,0338099 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-02 9,3025 9,2975 27,2804 27,2804 253,775921 253,639519 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-05 9,2845 9,2795 27,179 27,179 252,3434255 252,2075305 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-06 9,3225 9,3175 26,9416 26,9416 251,163066 251,028358 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-07 9,3075 9,3025 26,7224 26,7224 248,718738 248,585126 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-08 9,3255 9,3205 26,9999 26,9999 251,78756745 251,65256795 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-09 9,3445 9,3395 27,5239 27,5239 257,19708355 257,05946405 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-12 9,3015 9,2965 27,9341 27,9341 259,82903115 259,68936065 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-13 9,3015 9,2965 27,6784 27,6784 257,4506376 257,3122456 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-14 9,3365 9,3315 27,6778 27,6778 258,4137797 258,2753907 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-15 9,3425 9,3375 28,3237 28,3237 264,61416725 264,47254875 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-16 9,3465 9,3415 28,8166 28,8166 269,3343519 269,1902689 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-19 9,3355 9,3305 29,4476 29,4476 274,9080698 274,7608318 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-20 9,3395 9,3345 29,2682 29,2682 273,3503539 273,2040129 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-21 9,3405 9,3355 29,6216 29,6216 276,6805548 276,5324468 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-22 9,3405 9,3355 29,7212 29,7212 277,6108686 277,4622626 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-23 9,3695 9,3645 29,5382 29,5382 276,7581649 276,6104739 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-26 9,3815 9,3765 29,6232 29,6232 277,9100508 277,7619348 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-27 9,3885 9,3835 30,3831 30,3831 285,25173435 285,09981885 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-28 9,3935 9,3885 30,3416 30,3416 285,0138196 284,8621116 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-29 9,3845 9,3795 30,4555 30,4555 285,80963975 285,65736225 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-09-30 9,3435 9,3385 30,3715 30,3715 283,77611025 283,62425275 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-03 9,3025 9,2975 31,1504 31,1504 289,776596 289,620844 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-04 9,3185 9,3135 31,3546 31,3546 292,1778401 292,0210671 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-05 9,3105 9,3055 30,4287 30,4287 283,30641135 283,15426785 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-06 9,3015 9,2965 28,7618 28,7618 267,5278827 267,3840737 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-07 9,3385 9,3335 28,6458 28,6458 267,5088033 267,3655743 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-10 9,3465 9,3415 29,0664 29,0664 271,6691076 271,5237756 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-11 9,3395 9,3345 29,7643 29,7643 277,98367985 277,83485835 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-12 9,3375 9,3325 28,9269 28,9269 270,10492875 269,96029425 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-13 9,3815 9,3765 27,944 27,944 262,156636 262,016916 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-14 9,4135 9,4085 27,0374 27,0374 254,5165649 254,3813779 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-17 9,4575 9,4525 27,5106 27,5106 260,1814995 260,0439465 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-18 9,4625 9,4575 27,5503 27,5503 260,69471375 260,55696225 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-19 9,4605 9,4555 26,4231 26,4231 249,97573755 249,84362205 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-20 9,4935 9,4885 26,5404 26,5404 251,9612874 251,8285854 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-21 9,4915 9,4865 26,5942 26,5942 252,4188493 252,2858783 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-24 9,5455 9,5405 27,069 27,069 258,3871395 258,2517945 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-25 9,5465 9,5415 26,8757 26,8757 256,56887005 256,43449155 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-26 9,4975 9,4925 27,0266 27,0266 256,6851335 256,5500005 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-27 9,5355 9,5305 26,4803 26,4803 252,50290065 252,37049915 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-28 9,5135 9,5085 26,7644 26,7644 254,6231194 254,4892974 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-10-31 9,5495 9,5445 27,4769 27,4769 262,39065655 262,25327205 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-02 9,5855 9,5805 28,0185 28,0185 268,57133175 268,43123925 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-03 9,6515 9,6465 28,5674 28,5674 275,7182611 275,5754241 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-04 9,5875 9,5825 28,9232 28,9232 277,30118 277,156564 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-07 9,6075 9,6025 28,6569 28,6569 275,32116675 275,17788225 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-08 9,5685 9,5635 28,5126 28,5126 272,8228131 272,6802501 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-09 9,5575 9,5525 28,5483 28,5483 272,85037725 272,70763575 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-10 9,6105 9,6055 28,2165 28,2165 271,17467325 271,03359075 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-14 9,5505 9,5455 28,3403 28,3403 270,66403515 270,52233365 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-15 9,5805 9,5755 28,1551 28,1551 269,73993555 269,59916005 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-16 9,6235 9,6185 28,3698 28,3698 273,0167703 272,8749213 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-17 9,6355 9,6305 28,837 28,837 277,8589135 277,7147285 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-18 9,6085 9,6035 29,0082 29,0082 278,7252897 278,5802487 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-21 9,5915 9,5865 29,0866 29,0866 278,9841239 278,8386909 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-22 9,5585 9,5535 28,8334 28,8334 275,6040539 275,4598869 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-23 9,5155 9,5105 28,8208 28,8208 274,2443224 274,1002184 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-24 9,5125 9,5075 29,1548 29,1548 277,335035 277,189261 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-25 9,4965 9,4915 29,5288 29,5288 280,4202492 280,2726052 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-28 9,4835 9,4785 29,6326 29,6326 281,0207621 280,8725991 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-29 9,4785 9,4735 29,4556 29,4556 279,1949046 279,0476266 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-11-30 9,5295 9,5245 29,3901 29,3901 280,07295795 279,92600745 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-01 9,5165 9,5115 29,8712 29,8712 284,2692748 284,1199188 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-02 9,4905 9,4855 30,2368 30,2368 286,9623504 286,8111664 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-05 9,4065 9,4015 30,0673 30,0673 282,82805745 282,67772095 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-06 9,4185 9,4135 29,7451 29,7451 280,15422435 280,00549885 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-07 9,4255 9,4205 29,9904 29,9904 282,6745152 282,5245632 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-08 9,3965 9,3915 29,7006 29,7006 279,0816879 278,9331849 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-12 9,4315 9,4265 29,8298 29,8298 281,3397587 281,1906097 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-13 9,4295 9,4245 29,7903 29,7903 280,90763385 280,75868235 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-14 9,4365 9,4315 29,7768 29,7768 280,9887732 280,8398892 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-15 9,4345 9,4295 29,8526 29,8526 281,6443547 281,4950917 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-16 9,4765 9,4715 29,8614 29,8614 282,9815571 282,8322501 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-19 9,4535 9,4485 30,0013 30,0013 283,61728955 283,46728305 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-20 9,4015 9,3965 30,3188 30,3188 285,0421982 284,8906042 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-21 9,4485 9,4435 30,5015 30,5015 288,19342275 288,04091525 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-22 9,4365 9,4315 30,376 30,376 286,643124 286,491244 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-23 9,4425 9,4375 30,3754 30,3754 286,8197145 286,6678375 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-27 9,4915 9,4865 30,4119 30,4119 288,65454885 288,50248935 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-28 9,4345 9,4295 30,2044 30,2044 284,9634118 284,8123898 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-29 9,4115 9,4065 30,4279 30,4279 286,37218085 286,22004135 619213 SG Asset Management S.A. SGAM Fund Equities Eastern Europe EUR 2005-12-30 9,4325 9,4275 30,3365 30,3365 286,14903625 285,99735375 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-03 9,0065 9,0015 11,8313 11,8313 106,55860345 106,49944695 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-04 9,0345 9,0295 11,8543 11,8543 107,09767335 107,03840185 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-05 9,0615 9,0565 11,7752 11,7752 106,7009748 106,6420988 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-07 9,0615 9,0565 11,8975 11,8975 107,80919625 107,74970875 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-10 9,08619 9,08119 11,8921 11,8921 108,053880099 107,994419599 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-11 9,08619 9,08119 11,814 11,814 107,34424866 107,28517866 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-12 9,0455 9,0405 11,7144 11,7144 105,9626052 105,9040332 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-13 9,0505 9,0455 11,7791 11,7791 106,60674455 106,54784905 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-14 9,0455 9,0405 11,8011 11,8011 106,74685005 106,68784455 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-17 9,0685 9,0635 11,8739 11,8739 107,67846215 107,61909265 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-18 9,0585 9,0535 11,8891 11,8891 107,69741235 107,63796685 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-19 9,0225 9,0175 11,8783 11,8783 107,17196175 107,11257025 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-20 9,0315 9,0265 11,8106 11,8106 106,6674339 106,6083809 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-21 9,0505 9,0455 11,828 11,828 107,049314 106,990174 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-24 9,0655 9,0605 11,8171 11,8171 107,12792005 107,06883455 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-25 9,0715 9,0665 11,8953 11,8953 107,90821395 107,84873745 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-26 9,0885 9,0835 11,899 11,899 108,1440615 108,0845665 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-27 9,0675 9,0625 11,9502 11,9502 108,3584385 108,2986875 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-28 9,0955 9,0905 11,9151 11,9151 108,37379205 108,31421655 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-01-31 9,1075 9,1025 12,004 12,004 109,32643 109,26641 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-01 9,1035 9,0985 12,0932 12,0932 110,0904462 110,0299802 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-02 9,0905 9,0855 12,1409 12,1409 110,36685145 110,30614695 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-03 9,0695 9,0645 12,0872 12,0872 109,6248604 109,5644244 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-04 9,0895 9,0845 12,1953 12,1953 110,84917935 110,78820285 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-07 9,0755 9,0705 12,2563 12,2563 111,23205065 111,17076915 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-08 9,0895 9,0845 12,2665 12,2665 111,49635175 111,43501925 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-09 9,0695 9,0645 12,2331 12,2331 110,94810045 110,88693495 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-10 9,0805 9,0755 12,2263 12,2263 111,02091715 110,95978565 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-11 9,0935 9,0885 12,3513 12,3513 112,31654655 112,25479005 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-14 9,1105 9,1055 12,3347 12,3347 112,37528435 112,31361085 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-15 9,0765 9,0715 12,3783 12,3783 112,35163995 112,28974845 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-16 9,0705 9,0655 12,3258 12,3258 111,8011689 111,7395399 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-17 9,0925 9,0875 12,3401 12,3401 112,20235925 112,14065875 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-18 9,0945 9,0895 12,3406 12,3406 112,2315867 112,1698837 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-21 9,1185 9,1135 12,2913 12,2913 112,07821905 112,01676255 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-22 9,0975 9,0925 12,1927 12,1927 110,92308825 110,86212475 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-23 9,1045 9,0995 12,1573 12,1573 110,68613785 110,62535135 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-24 9,0715 9,0665 12,1375 12,1375 110,10533125 110,04464375 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-25 9,0845 9,0795 12,2637 12,2637 111,40958265 111,34826415 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-02-28 9,0505 9,0455 12,2568 12,2568 110,9301684 110,8688844 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-01 9,0565 9,0515 12,3482 12,3482 111,8314733 111,7697323 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-02 9,0645 9,0595 12,3601 12,3601 112,03812645 111,97632595 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-03 9,0675 9,0625 12,3488 12,3488 111,972744 111,911 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-04 9,0415 9,0365 12,4438 12,4438 112,5106177 112,4483987 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-07 9,0425 9,0375 12,478 12,478 112,832315 112,769925 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-08 9,0345 9,0295 12,4199 12,4199 112,20758655 112,14548705 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-09 9,0365 9,0315 12,3466 12,3466 111,5700509 111,5083179 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-10 9,0655 9,0605 12,2504 12,2504 111,0560012 110,9947492 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-11 9,0795 9,0745 12,2487 12,2487 111,21207165 111,15082815 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-14 9,0695 9,0645 12,2479 12,2479 111,08232905 111,02108955 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-15 9,1035 9,0985 12,3421 12,3421 112,35630735 112,29459685 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-16 9,0975 9,0925 12,1708 12,1708 110,723853 110,662999 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-17 9,1045 9,0995 12,2058 12,2058 111,1277061 111,0666771 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-18 9,1035 9,0985 12,2707 12,2707 111,70631745 111,64496395 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-21 9,1265 9,1215 12,21 12,21 111,434565 111,373515 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-22 9,1265 9,1215 12,2528 12,2528 111,8251792 111,7639152 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-23 9,1165 9,1115 12,1984 12,1984 111,2067136 111,1457216 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-24 9,1135 9,1085 12,2795 12,2795 111,90922325 111,84782575 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-29 9,1315 9,1265 12,3046 12,3046 112,3594549 112,2979319 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-30 9,1425 9,1375 12,2845 12,2845 112,31104125 112,24961875 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-03-31 9,1405 9,1355 12,2845 12,2845 112,28647225 112,22504975 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-01 9,1645 9,1595 12,3494 12,3494 113,1760763 113,1143293 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-04 9,1695 9,1645 12,2711 12,2711 112,51985145 112,45849595 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-05 9,1745 9,1695 12,343 12,343 113,2408535 113,1791385 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-06 9,1705 9,1655 12,3897 12,3897 113,61974385 113,55779535 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-07 9,1505 9,1455 12,4656 12,4656 114,0664728 114,0041448 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-08 9,1625 9,1575 12,4688 12,4688 114,24538 114,183036 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-11 9,1705 9,1655 12,4543 12,4543 114,21215815 114,14988665 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-12 9,1525 9,1475 12,4069 12,4069 113,55415225 113,49211775 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-13 9,1495 9,1445 12,4721 12,4721 114,11347895 114,05111845 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-14 9,1685 9,1635 12,4641 12,4641 114,27710085 114,21478035 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-15 9,1925 9,1875 12,2331 12,2331 112,45277175 112,39160625 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-18 9,1805 9,1755 11,9821 11,9821 110,00166905 109,94175855 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-19 9,2035 9,1985 12,024 12,024 110,662884 110,602764 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-20 9,1915 9,1865 11,9861 11,9861 110,17023815 110,11030765 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-21 9,1855 9,1805 12,0171 12,0171 110,38307205 110,32298655 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-22 9,1625 9,1575 12,0918 12,0918 110,7911175 110,7306585 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-25 9,1685 9,1635 12,1323 12,1323 111,23499255 111,17433105 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-26 9,1375 9,1325 12,1132 12,1132 110,684365 110,623799 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-27 9,1465 9,1415 11,9365 11,9365 109,17719725 109,11751475 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-28 9,1505 9,1455 11,858 11,858 108,506629 108,447339 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-04-29 9,1705 9,1655 11,9116 11,9116 109,2353278 109,1757698 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-02 9,1935 9,1885 12,0031 12,0031 110,35049985 110,29048435 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-03 9,2245 9,2195 12,0298 12,0298 110,9688901 110,9087411 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-04 9,1915 9,1865 12,1682 12,1682 111,8440103 111,7831693 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-06 9,1715 9,1665 12,2209 12,2209 112,08398435 112,02287985 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-09 9,1815 9,1765 12,1879 12,1879 111,90320385 111,84226435 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-10 9,1985 9,1935 12,1149 12,1149 111,43890765 111,37833315 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-11 9,2105 9,2055 12,0796 12,0796 111,2591558 111,1987578 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-12 9,2315 9,2265 12,1769 12,1769 112,41105235 112,35016785 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-13 9,2045 9,1995 12,1523 12,1523 111,85584535 111,79508385 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-17 9,2325 9,2275 12,1281 12,1281 111,97268325 111,91204275 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-18 9,2095 9,2045 12,3286 12,3286 113,5402417 113,4785987 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-19 9,1905 9,1855 12,3737 12,3737 113,72048985 113,65862135 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-20 9,1955 9,1905 12,3925 12,3925 113,95523375 113,89327125 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-23 9,1805 9,1755 12,4572 12,4572 114,3633246 114,3010386 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-24 9,1815 9,1765 12,4523 12,4523 114,33079245 114,26853095 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-25 9,1785 9,1735 12,4394 12,4394 114,1750329 114,1128359 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-26 9,1945 9,1895 12,5404 12,5404 115,3027078 115,2400058 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-27 9,1955 9,1905 12,5228 12,5228 115,1534074 115,0907934 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-30 9,1905 9,1855 12,5962 12,5962 115,7653761 115,7023951 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-05-31 9,1665 9,1615 12,5579 12,5579 115,11199035 115,04920085 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-01 9,1455 9,1405 12,7351 12,7351 116,46885705 116,40518155 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-02 9,1565 9,1515 12,7396 12,7396 116,6501474 116,5864494 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-03 9,1315 9,1265 12,6748 12,6748 115,7399362 115,6765622 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-07 9,1455 9,1405 12,7775 12,7775 116,85662625 116,79273875 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-08 9,1455 9,1405 12,7744 12,7744 116,8282752 116,7644032 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-09 9,1965 9,1915 12,7808 12,7808 117,5386272 117,4747232 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-10 9,1975 9,1925 12,8483 12,8483 118,17223925 118,10799775 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-13 9,2365 9,2315 12,9072 12,9072 119,2173528 119,1528168 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-14 9,2985 9,2935 12,9051 12,9051 119,99807235 119,93354685 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-15 9,2695 9,2645 12,8502 12,8502 119,1149289 119,0506779 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-16 9,2695 9,2645 12,8857 12,8857 119,44399615 119,37956765 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-17 9,2695 9,2645 12,9658 12,9658 120,1864831 120,1216541 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-20 9,2255 9,2205 12,8947 12,8947 118,96005485 118,89558135 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-21 9,2725 9,2675 12,969 12,969 120,2550525 120,1902075 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-22 9,2615 9,2565 13,0292 13,0292 120,6699358 120,6047898 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-27 9,3855 9,3805 12,7986 12,7986 120,1212603 120,0572673 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-28 9,3995 9,3945 12,9207 12,9207 121,44811965 121,38351615 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-29 9,4215 9,4165 12,9898 12,9898 122,3834007 122,3184517 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-06-30 9,4415 9,4365 12,9952 12,9952 122,6941808 122,6292048 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-01 9,4595 9,4545 13,0921 13,0921 123,84471995 123,77925945 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-04 9,4795 9,4745 13,1166 13,1166 124,3388097 124,2732267 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-05 9,4575 9,4525 13,0848 13,0848 123,749496 123,684072 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-06 9,4195 9,4145 13,1465 13,1465 123,83345675 123,76772425 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-07 9,3965 9,3915 12,9361 12,9361 121,55406365 121,48938315 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-08 9,4175 9,4125 13,1244 13,1244 123,599037 123,533415 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-11 9,4665 9,4615 13,2035 13,2035 124,99093275 124,92491525 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-12 9,4645 9,4595 13,1676 13,1676 124,6247502 124,5589122 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-13 9,3915 9,3865 13,2679 13,2679 124,60548285 124,53914335 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-15 9,4055 9,4005 13,3107 13,3107 125,19378885 125,12723535 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-18 9,3895 9,3845 13,2948 13,2948 124,8315246 124,7650506 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-19 9,4425 9,4375 13,3952 13,3952 126,484176 126,4172 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-20 9,4265 9,4215 13,3478 13,3478 125,8230367 125,7562977 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-21 9,4625 9,4575 13,3655 13,3655 126,47104375 126,40421625 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-22 9,4495 9,4445 13,3594 13,3594 126,2396503 126,1728533 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-25 9,4275 9,4225 13,3809 13,3809 126,14843475 126,08153025 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-26 9,4155 9,4105 13,3749 13,3749 125,93137095 125,86449645 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-27 9,4725 9,4675 13,4104 13,4104 127,030014 126,962962 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-28 9,4515 9,4465 13,4783 13,4783 127,39015245 127,32276095 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-07-29 9,3885 9,3835 13,44 13,44 126,18144 126,11424 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-01 9,3985 9,3935 13,4523 13,4523 126,43144155 126,36418005 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-02 9,3995 9,3945 13,5474 13,5474 127,3387863 127,2710493 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-03 9,3755 9,3705 13,5378 13,5378 126,9236439 126,8559549 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-04 9,3735 9,3685 13,4425 13,4425 126,00327375 125,93606125 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-05 9,3355 9,3305 13,3526 13,3526 124,6531973 124,5864343 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-08 9,3335 9,3285 13,4166 13,4166 125,2238361 125,1567531 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-09 9,3455 9,3405 13,5386 13,5386 126,5249863 126,4572933 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-10 9,3535 9,3485 13,7071 13,7071 128,20935985 128,14082435 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-11 9,3365 9,3315 13,6281 13,6281 127,23875565 127,17061515 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-12 9,3025 9,2975 13,5295 13,5295 125,85817375 125,79052625 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-16 9,2995 9,2945 13,4657 13,4657 125,22427715 125,15694865 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-17 9,3405 9,3355 13,4311 13,4311 125,45318955 125,38603405 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-18 9,3365 9,3315 13,373 13,373 124,8570145 124,7901495 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-19 9,3395 9,3345 13,5461 13,5461 126,51380095 126,44607045 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-22 9,3655 9,3605 13,5542 13,5542 126,9418601 126,8740891 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-23 9,3715 9,3665 13,4427 13,4427 125,97826305 125,91104955 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-24 9,3365 9,3315 13,4563 13,4563 125,63474495 125,56746345 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-25 9,3335 9,3285 13,3173 13,3173 124,29701955 124,23043305 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-26 9,3415 9,3365 13,1782 13,1782 123,1041553 123,0382643 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-29 9,3295 9,3245 13,2319 13,2319 123,44701105 123,38085155 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-30 9,3285 9,3235 13,2008 13,2008 123,1436628 123,0776588 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-08-31 9,3585 9,3535 13,3216 13,3216 124,6701936 124,6035856 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-01 9,3365 9,3315 13,3822 13,3822 124,9429103 124,8759993 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-02 9,3025 9,2975 13,3651 13,3651 124,32884275 124,26201725 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-05 9,2845 9,2795 13,4709 13,4709 125,07057105 125,00321655 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-06 9,3225 9,3175 13,5778 13,5778 126,5790405 126,5111515 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-07 9,3075 9,3025 13,6202 13,6202 126,7700115 126,7019105 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-08 9,3255 9,3205 13,6266 13,6266 127,0748583 127,0067253 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-09 9,3445 9,3395 13,6765 13,6765 127,80005425 127,73167175 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-12 9,3015 9,2965 13,6681 13,6681 127,13383215 127,06549165 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-13 9,3015 9,2965 13,5587 13,5587 126,11624805 126,04845455 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-14 9,3365 9,3315 13,5961 13,5961 126,93998765 126,87200715 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-15 9,3425 9,3375 13,6179 13,6179 127,22523075 127,15714125 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-16 9,3465 9,3415 13,7323 13,7323 128,34894195 128,28028045 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-19 9,3355 9,3305 13,6906 13,6906 127,8085963 127,7401433 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-20 9,3395 9,3345 13,7628 13,7628 128,5376706 128,4688566 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-21 9,3405 9,3355 13,5821 13,5821 126,86360505 126,79569455 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-22 9,3405 9,3355 13,4983 13,4983 126,08087115 126,01337965 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-23 9,3695 9,3645 13,5662 13,5662 127,1085109 127,0406799 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-26 9,3815 9,3765 13,8026 13,8026 129,4890919 129,4200789 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-27 9,3885 9,3835 13,7232 13,7232 128,8402632 128,7716472 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-28 9,3935 9,3885 13,8679 13,8679 130,26811865 130,19877915 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-29 9,3845 9,3795 13,8147 13,8147 129,64405215 129,57497865 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-09-30 9,3435 9,3385 13,8861 13,8861 129,74477535 129,67534485 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-03 9,3025 9,2975 13,9669 13,9669 129,92708725 129,85725275 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-04 9,3185 9,3135 14,004 14,004 130,496274 130,426254 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-05 9,3105 9,3055 13,8331 13,8331 128,79307755 128,72391205 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-06 9,3015 9,2965 13,697 13,697 127,4026455 127,3341605 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-07 9,3385 9,3335 13,6551 13,6551 127,51815135 127,44987585 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-10 9,3465 9,3415 13,6997 13,6997 128,04424605 127,97574755 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-11 9,3395 9,3345 13,7371 13,7371 128,29764545 128,22895995 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-12 9,3375 9,3325 13,6287 13,6287 127,25798625 127,18984275 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-13 9,3815 9,3765 13,4837 13,4837 126,49733155 126,42991305 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-14 9,4135 9,4085 13,5329 13,5329 127,39195415 127,32428965 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-17 9,4575 9,4525 13,5138 13,5138 127,8067635 127,7391945 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-18 9,4625 9,4575 13,4159 13,4159 126,94795375 126,88087425 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-19 9,4605 9,4555 13,1797 13,1797 124,68655185 124,62065335 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-20 9,4935 9,4885 13,2051 13,2051 125,36261685 125,29659135 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-21 9,4915 9,4865 13,1514 13,1514 124,8265131 124,7607561 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-24 9,5455 9,5405 13,3143 13,3143 127,09165065 127,02507915 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-25 9,5465 9,5415 13,2459 13,2459 126,45198435 126,38575485 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-26 9,4975 9,4925 13,3042 13,3042 126,3566395 126,2901185 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-27 9,5355 9,5305 13,0638 13,0638 124,5698649 124,5045459 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-28 9,5135 9,5085 13,0668 13,0668 124,3110018 124,2456678 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-10-31 9,5495 9,5445 13,3223 13,3223 127,22130385 127,15469235 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-02 9,5855 9,5805 13,3648 13,3648 128,1082904 128,0414664 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-03 9,6515 9,6465 13,5135 13,5135 130,42554525 130,35797775 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-04 9,5875 9,5825 13,4814 13,4814 129,2529225 129,1855155 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-07 9,6075 9,6025 13,5212 13,5212 129,904929 129,837323 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-08 9,5685 9,5635 13,4913 13,4913 129,09150405 129,02404755 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-09 9,5575 9,5525 13,469 13,469 128,7299675 128,6626225 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-10 9,6105 9,6055 13,489 13,489 129,6360345 129,5685895 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-14 9,5505 9,5455 13,6647 13,6647 130,50471735 130,43639385 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-15 9,5805 9,5755 13,6521 13,6521 130,79394405 130,72568355 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-16 9,6235 9,6185 13,5895 13,5895 130,77855325 130,71060575 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-17 9,6355 9,6305 13,6632 13,6632 131,6517636 131,5834476 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-18 9,6085 9,6035 13,7355 13,7355 131,97755175 131,90887425 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-21 9,5915 9,5865 13,7968 13,7968 132,3320072 132,2630232 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-22 9,5585 9,5535 13,7787 13,7787 131,70370395 131,63481045 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-23 9,5155 9,5105 13,8743 13,8743 132,02090165 131,95153015 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-24 9,5125 9,5075 13,8503 13,8503 131,75097875 131,68172725 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-25 9,4965 9,4915 13,8918 13,8918 131,9234787 131,8540197 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-28 9,4835 9,4785 13,8223 13,8223 131,08378205 131,01467055 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-29 9,4785 9,4735 13,8654 13,8654 131,4231939 131,3538669 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-11-30 9,5295 9,5245 13,8107 13,8107 131,60906565 131,54001215 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-01 9,5165 9,5115 14,0229 14,0229 133,44892785 133,37881335 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-02 9,4905 9,4855 14,1063 14,1063 133,87584015 133,80530865 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-05 9,4065 9,4015 14,0483 14,0483 132,14533395 132,07509245 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-06 9,4185 9,4135 14,1156 14,1156 132,9477786 132,8772006 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-07 9,4255 9,4205 14,0577 14,0577 132,50085135 132,43056285 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-08 9,3965 9,3915 14,0695 14,0695 132,20405675 132,13370925 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-12 9,4315 9,4265 14,1115 14,1115 133,09261225 133,02205475 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-13 9,4295 9,4245 14,1421 14,1421 133,35293195 133,28222145 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-14 9,4365 9,4315 14,1254 14,1254 133,2943371 133,2237101 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-15 9,4345 9,4295 14,1341 14,1341 133,34816645 133,27749595 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-16 9,4765 9,4715 14,2535 14,2535 135,07329275 135,00202525 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-19 9,4535 9,4485 14,2517 14,2517 134,72844595 134,65718745 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-20 9,4015 9,3965 14,2848 14,2848 134,2985472 134,2271232 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-21 9,4485 9,4435 14,4155 14,4155 136,20485175 136,13277425 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-22 9,4365 9,4315 14,4011 14,4011 135,89598015 135,82397465 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-23 9,4425 9,4375 14,4448 14,4448 136,395024 136,3228 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-27 9,4915 9,4865 14,5041 14,5041 137,66566515 137,59314465 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-28 9,4345 9,4295 14,4785 14,4785 136,59740825 136,52501575 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-29 9,4115 9,4065 14,5098 14,5098 136,5589827 136,4864337 454587 SG Asset Management S.A. SGAM Fund Equities Euroland EUR 2005-12-30 9,4325 9,4275 14,3719 14,3719 135,56294675 135,49108725 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-03 9,0065 9,0015 15,1442 15,1442 136,3962373 136,3205163 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-04 9,0345 9,0295 15,1535 15,1535 136,90429575 136,82852825 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-05 9,0615 9,0565 15,0222 15,0222 136,1236653 136,0485543 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-07 9,0615 9,0565 15,1444 15,1444 137,2309806 137,1552586 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-10 9,08619 9,08119 15,1773 15,1773 137,903831487 137,827944987 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-11 9,08619 9,08119 15,0328 15,0328 136,590877032 136,515713032 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-12 9,0455 9,0405 14,8743 14,8743 134,54548065 134,47110915 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-13 9,0505 9,0455 14,9707 14,9707 135,49232035 135,41746685 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-14 9,0455 9,0405 15,0509 15,0509 136,14291595 136,06766145 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-17 9,0685 9,0635 15,1511 15,1511 137,39775035 137,32199485 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-18 9,0585 9,0535 15,1472 15,1472 137,2109112 137,1351752 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-19 9,0225 9,0175 15,1333 15,1333 136,54019925 136,46453275 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-20 9,0315 9,0265 15,0053 15,0053 135,52036695 135,44534045 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-21 9,0505 9,0455 15,058 15,058 136,282429 136,207139 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-24 9,0655 9,0605 15,0107 15,0107 136,07950085 136,00444735 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-25 9,0715 9,0665 15,1133 15,1133 137,10030095 137,02473445 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-26 9,0885 9,0835 15,1451 15,1451 137,64624135 137,57051585 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-27 9,0675 9,0625 15,2426 15,2426 138,2122755 138,1360625 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-28 9,0955 9,0905 15,1809 15,1809 138,07787595 138,00197145 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-01-31 9,1075 9,1025 15,3028 15,3028 139,370251 139,293737 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-01 9,1035 9,0985 15,4879 15,4879 140,99409765 140,91665815 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-02 9,0905 9,0855 15,5585 15,5585 141,43454425 141,35675175 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-03 9,0695 9,0645 15,4219 15,4219 139,86892205 139,79181255 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-04 9,0895 9,0845 15,6059 15,6059 141,84982805 141,77179855 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-07 9,0755 9,0705 15,7629 15,7629 143,05619895 142,97738445 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-08 9,0895 9,0845 15,7532 15,7532 143,1887114 143,1099454 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-09 9,0695 9,0645 15,7335 15,7335 142,69497825 142,61631075 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-10 9,0805 9,0755 15,6575 15,6575 142,17792875 142,09964125 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-11 9,0935 9,0885 15,8209 15,8209 143,86735415 143,78824965 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-14 9,1105 9,1055 15,8327 15,8327 144,24381335 144,16464985 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-15 9,0765 9,0715 15,8898 15,8898 144,2237697 144,1443207 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-16 9,0705 9,0655 15,8028 15,8028 143,3392974 143,2602834 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-17 9,0925 9,0875 15,8397 15,8397 144,02247225 143,94327375 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-18 9,0945 9,0895 15,8924 15,8924 144,5334318 144,4539698 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-21 9,1185 9,1135 15,8931 15,8931 144,92123235 144,84176685 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-22 9,0975 9,0925 15,8039 15,8039 143,77598025 143,69696075 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-23 9,1045 9,0995 15,6899 15,6899 142,84869455 142,77024505 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-24 9,0715 9,0665 15,6918 15,6918 142,3481637 142,2697047 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-25 9,0845 9,0795 15,9442 15,9442 144,8450849 144,7653639 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-02-28 9,0505 9,0455 15,946 15,946 144,319273 144,239543 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-01 9,0565 9,0515 16,009 16,009 144,9855085 144,9054635 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-02 9,0645 9,0595 16,0486 16,0486 145,4725347 145,3922917 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-03 9,0675 9,0625 16,0602 16,0602 145,6258635 145,5455625 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-04 9,0415 9,0365 16,1932 16,1932 146,4108178 146,3298518 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-07 9,0425 9,0375 16,2001 16,2001 146,48940425 146,40840375 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-08 9,0345 9,0295 16,1154 16,1154 145,5945813 145,5140043 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-09 9,0365 9,0315 16,087 16,087 145,3701755 145,2897405 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-10 9,0655 9,0605 15,9172 15,9172 144,2973766 144,2177906 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-11 9,0795 9,0745 15,9419 15,9419 144,74448105 144,66477155 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-14 9,0695 9,0645 15,9378 15,9378 144,5478771 144,4681881 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-15 9,1035 9,0985 16,0149 16,0149 145,79164215 145,71156765 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-16 9,0975 9,0925 15,795 15,795 143,6950125 143,6160375 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-17 9,1045 9,0995 15,8322 15,8322 144,1442649 144,0651039 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-18 9,1035 9,0985 15,9233 15,9233 144,95776155 144,87814505 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-21 9,1265 9,1215 15,8467 15,8467 144,62490755 144,54567405 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-22 9,1265 9,1215 15,8802 15,8802 144,9306453 144,8512443 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-23 9,1165 9,1115 15,7803 15,7803 143,86110495 143,78220345 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-24 9,1135 9,1085 15,8371 15,8371 144,33141085 144,25222535 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-29 9,1315 9,1265 15,8266 15,8266 144,5205979 144,4414649 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-30 9,1425 9,1375 15,7871 15,7871 144,33356175 144,25462625 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-03-31 9,1405 9,1355 15,7871 15,7871 144,30198755 144,22305205 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-01 9,1645 9,1595 15,9046 15,9046 145,7577067 145,6781837 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-04 9,1695 9,1645 15,856 15,856 145,391592 145,312312 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-05 9,1745 9,1695 15,9301 15,9301 146,15070245 146,07105195 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-06 9,1705 9,1655 15,9722 15,9722 146,4730601 146,3931991 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-07 9,1505 9,1455 16,0643 16,0643 146,99637715 146,91605565 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-08 9,1625 9,1575 16,0714 16,0714 147,2542025 147,1738455 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-11 9,1705 9,1655 16,0182 16,0182 146,8949031 146,8148121 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-12 9,1525 9,1475 15,9628 15,9628 146,099527 146,019713 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-13 9,1495 9,1445 15,9739 15,9739 146,15319805 146,07332855 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-14 9,1685 9,1635 15,8623 15,8623 145,43349755 145,35418605 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-15 9,1925 9,1875 15,5111 15,5111 142,58578675 142,50823125 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-18 9,1805 9,1755 15,1514 15,1514 139,0974277 139,0216707 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-19 9,2035 9,1985 15,2102 15,2102 139,9870757 139,9110247 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-20 9,1915 9,1865 15,1853 15,1853 139,57568495 139,49975845 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-21 9,1855 9,1805 15,2268 15,2268 139,8657714 139,7896374 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-22 9,1625 9,1575 15,3755 15,3755 140,87801875 140,80114125 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-25 9,1685 9,1635 15,4465 15,4465 141,62123525 141,54400275 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-26 9,1375 9,1325 15,4111 15,4111 140,81892625 140,74187075 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-27 9,1465 9,1415 15,1666 15,1666 138,7213069 138,6454739 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-28 9,1505 9,1455 15,0634 15,0634 137,8376417 137,7623247 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-04-29 9,1705 9,1655 15,0955 15,0955 138,43328275 138,35780525 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-02 9,1935 9,1885 15,2106 15,2106 139,8386511 139,7625981 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-03 9,2245 9,2195 15,2512 15,2512 140,6846944 140,6084384 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-04 9,1915 9,1865 15,485 15,485 142,3303775 142,2529525 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-06 9,1715 9,1665 15,5899 15,5899 142,98276785 142,90481835 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-09 9,1815 9,1765 15,5706 15,5706 142,9614639 142,8836109 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-10 9,1985 9,1935 15,5024 15,5024 142,5988264 142,5213144 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-11 9,2105 9,2055 15,4589 15,4589 142,38419845 142,30690395 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-12 9,2315 9,2265 15,5678 15,5678 143,7141457 143,6363067 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-13 9,2045 9,1995 15,5518 15,5518 143,1465431 143,0687841 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-17 9,2325 9,2275 15,5459 15,5459 143,52752175 143,44979225 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-18 9,2095 9,2045 15,8229 15,8229 145,72099755 145,64188305 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-19 9,1905 9,1855 15,9427 15,9427 146,52138435 146,44167085 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-20 9,1955 9,1905 15,9647 15,9647 146,80339885 146,72357535 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-23 9,1805 9,1755 16,0246 16,0246 147,1138403 147,0337173 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-24 9,1815 9,1765 16,0046 16,0046 146,9462349 146,8662119 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-25 9,1785 9,1735 15,994 15,994 146,800929 146,720959 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-26 9,1945 9,1895 16,127 16,127 148,2797015 148,1990665 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-27 9,1955 9,1905 16,1196 16,1196 148,2277818 148,1471838 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-30 9,1905 9,1855 16,2109 16,2109 148,98627645 148,90522195 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-05-31 9,1665 9,1615 16,1744 16,1744 148,2626376 148,1817656 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-01 9,1455 9,1405 16,4325 16,4325 150,28342875 150,20126625 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-02 9,1565 9,1515 16,4611 16,4611 150,72606215 150,64375665 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-03 9,1315 9,1265 16,4209 16,4209 149,94744835 149,86534385 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-07 9,1455 9,1405 16,5525 16,5525 151,38088875 151,29812625 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-08 9,1455 9,1405 16,5628 16,5628 151,4750874 151,3922734 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-09 9,1965 9,1915 16,5352 16,5352 152,0659668 151,9832908 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-10 9,1975 9,1925 16,7195 16,7195 153,77760125 153,69400375 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-13 9,2365 9,2315 16,8694 16,8694 155,8142131 155,7298661 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-14 9,2985 9,2935 16,9253 16,9253 157,37990205 157,29527555 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-15 9,2695 9,2645 16,8181 16,8181 155,89537795 155,81128745 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-16 9,2695 9,2645 16,948 16,948 157,099486 157,014746 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-17 9,2695 9,2645 17,0356 17,0356 157,9114942 157,8263162 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-20 9,2255 9,2205 16,9892 16,9892 156,7338646 156,6489186 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-21 9,2725 9,2675 17,0577 17,0577 158,16752325 158,08223475 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-22 9,2615 9,2565 17,1509 17,1509 158,84306035 158,75730585 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-27 9,3855 9,3805 16,8604 16,8604 158,2432842 158,1589822 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-28 9,3995 9,3945 17,0524 17,0524 160,2840338 160,1987718 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-29 9,4215 9,4165 17,1086 17,1086 161,1886749 161,1031319 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-06-30 9,4415 9,4365 17,0487 17,0487 160,96530105 160,88005755 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-01 9,4595 9,4545 17,2061 17,2061 162,76110295 162,67507245 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-04 9,4795 9,4745 17,2875 17,2875 163,87685625 163,79041875 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-05 9,4575 9,4525 17,2625 17,2625 163,26009375 163,17378125 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-06 9,4195 9,4145 17,4059 17,4059 163,95487505 163,86784555 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-07 9,3965 9,3915 17,1338 17,1338 160,9977517 160,9120827 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-08 9,4175 9,4125 17,4845 17,4845 164,66027875 164,57285625 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-11 9,4665 9,4615 17,5729 17,5729 166,35385785 166,26599335 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-12 9,4645 9,4595 17,5262 17,5262 165,8767199 165,7890889 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-13 9,3915 9,3865 17,664 17,664 165,891456 165,803136 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-15 9,4055 9,4005 17,7055 17,7055 166,52908025 166,44055275 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-18 9,3895 9,3845 17,6554 17,6554 165,7753783 165,6871013 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-19 9,4425 9,4375 17,8092 17,8092 168,163371 168,074325 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-20 9,4265 9,4215 17,7816 17,7816 167,6182524 167,5293444 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-21 9,4625 9,4575 17,7015 17,7015 167,50044375 167,41193625 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-22 9,4495 9,4445 17,7124 17,7124 167,3733238 167,2847618 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-25 9,4275 9,4225 17,796 17,796 167,77179 167,68281 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-26 9,4155 9,4105 17,7813 17,7813 167,41983015 167,33092365 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-27 9,4725 9,4675 17,8177 17,8177 168,77816325 168,68907475 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-28 9,4515 9,4465 17,9057 17,9057 169,23572355 169,14619505 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-07-29 9,3885 9,3835 17,8836 17,8836 167,9001786 167,8107606 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-01 9,3985 9,3935 17,9077 17,9077 168,30551845 168,21597995 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-02 9,3995 9,3945 18,0723 18,0723 169,87058385 169,78022235 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-03 9,3755 9,3705 18,1113 18,1113 169,80249315 169,71193665 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-04 9,3735 9,3685 17,9135 17,9135 167,91219225 167,82262475 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-05 9,3355 9,3305 17,7872 17,7872 166,0524056 165,9634696 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-08 9,3335 9,3285 17,8931 17,8931 167,00524885 166,91578335 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-09 9,3455 9,3405 18,0698 18,0698 168,8713159 168,7809669 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-10 9,3535 9,3485 18,2099 18,2099 170,32629965 170,23525015 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-11 9,3365 9,3315 18,1383 18,1383 169,34823795 169,25754645 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-12 9,3025 9,2975 18,0412 18,0412 167,828263 167,738057 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-16 9,2995 9,2945 17,8964 17,8964 166,4275718 166,3380898 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-17 9,3405 9,3355 17,8445 17,8445 166,67655225 166,58732975 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-18 9,3365 9,3315 17,716 17,716 165,405434 165,316854 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-19 9,3395 9,3345 17,9052 17,9052 167,2256154 167,1360894 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-22 9,3655 9,3605 17,9672 17,9672 168,2718116 168,1819756 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-23 9,3715 9,3665 17,8653 17,8653 167,42465895 167,33533245 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-24 9,3365 9,3315 17,8302 17,8302 166,4716623 166,3825113 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-25 9,3335 9,3285 17,6734 17,6734 164,9546789 164,8663119 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-26 9,3415 9,3365 17,5483 17,5483 163,92744445 163,83970295 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-29 9,3295 9,3245 17,6178 17,6178 164,3652651 164,2771761 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-30 9,3285 9,3235 17,6256 17,6256 164,4204096 164,3322816 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-08-31 9,3585 9,3535 17,7972 17,7972 166,5550962 166,4661102 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-01 9,3365 9,3315 17,9302 17,9302 167,4053123 167,3156613 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-02 9,3025 9,2975 17,8695 17,8695 166,23102375 166,14167625 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-05 9,2845 9,2795 17,9587 17,9587 166,73755015 166,64775665 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-06 9,3225 9,3175 18,0937 18,0937 168,67851825 168,58804975 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-07 9,3075 9,3025 18,1678 18,1678 169,0967985 169,0059595 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-08 9,3255 9,3205 18,1451 18,1451 169,21213005 169,12140455 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-09 9,3445 9,3395 18,2499 18,2499 170,53619055 170,44494105 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-12 9,3015 9,2965 18,3009 18,3009 170,22582135 170,13431685 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-13 9,3015 9,2965 18,1555 18,1555 168,87338325 168,78260575 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-14 9,3365 9,3315 18,1953 18,1953 169,88041845 169,78944195 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-15 9,3425 9,3375 18,2296 18,2296 170,310038 170,21889 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-16 9,3465 9,3415 18,3949 18,3949 171,92793285 171,83595835 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-19 9,3355 9,3305 18,4093 18,4093 171,86002015 171,76797365 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-20 9,3395 9,3345 18,5028 18,5028 172,8069006 172,7143866 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-21 9,3405 9,3355 18,3115 18,3115 171,03856575 170,94700825 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-22 9,3405 9,3355 18,2395 18,2395 170,36604975 170,27485225 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-23 9,3695 9,3645 18,2769 18,2769 171,24541455 171,15403005 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-26 9,3815 9,3765 18,5363 18,5363 173,89829845 173,80561695 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-27 9,3885 9,3835 18,4629 18,4629 173,33893665 173,24662215 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-28 9,3935 9,3885 18,6336 18,6336 175,0347216 174,9415536 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-29 9,3845 9,3795 18,5808 18,5808 174,3715176 174,2786136 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-09-30 9,3435 9,3385 18,6903 18,6903 174,63281805 174,53936655 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-03 9,3025 9,2975 18,8429 18,8429 175,28607725 175,19186275 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-04 9,3185 9,3135 18,9376 18,9376 176,4700256 176,3753376 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-05 9,3105 9,3055 18,6161 18,6161 173,32519905 173,23211855 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-06 9,3015 9,2965 18,2976 18,2976 170,1951264 170,1036384 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-07 9,3385 9,3335 18,2625 18,2625 170,54435625 170,45304375 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-10 9,3465 9,3415 18,3229 18,3229 171,25498485 171,16337035 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-11 9,3395 9,3345 18,3735 18,3735 171,59930325 171,50743575 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-12 9,3375 9,3325 18,2014 18,2014 169,9555725 169,8645655 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-13 9,3815 9,3765 17,9115 17,9115 168,03673725 167,94717975 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-14 9,4135 9,4085 17,8936 17,8936 168,4414036 168,3519356 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-17 9,4575 9,4525 17,993 17,993 170,1687975 170,0788325 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-18 9,4625 9,4575 17,8895 17,8895 169,27939375 169,18994625 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-19 9,4605 9,4555 17,4462 17,4462 165,0497751 164,9625441 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-20 9,4935 9,4885 17,4835 17,4835 165,97960725 165,89218975 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-21 9,4915 9,4865 17,3434 17,3434 164,6148811 164,5281641 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-24 9,5455 9,5405 17,5731 17,5731 167,74402605 167,65616055 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-25 9,5465 9,5415 17,5307 17,5307 167,35682755 167,26917405 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-26 9,4975 9,4925 17,6074 17,6074 167,2262815 167,1382445 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-27 9,5355 9,5305 17,2812 17,2812 164,7848826 164,6984766 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-28 9,5135 9,5085 17,2565 17,2565 164,16971275 164,08343025 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-10-31 9,5495 9,5445 17,6793 17,6793 168,82847535 168,74007885 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-02 9,5855 9,5805 17,7177 17,7177 169,83301335 169,74442485 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-03 9,6515 9,6465 17,9729 17,9729 173,46544435 173,37557985 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-04 9,5875 9,5825 17,9221 17,9221 171,82813375 171,73852325 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-07 9,6075 9,6025 17,9311 17,9311 172,27304325 172,18338775 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-08 9,5685 9,5635 17,8791 17,8791 171,07616835 170,98677285 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-09 9,5575 9,5525 17,8902 17,8902 170,9855865 170,8961355 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-10 9,6105 9,6055 17,7574 17,7574 170,6574927 170,5687057 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-14 9,5505 9,5455 18,0425 18,0425 172,31489625 172,22468375 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-15 9,5805 9,5755 18,0423 18,0423 172,85425515 172,76404365 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-16 9,6235 9,6185 17,9283 17,9283 172,53299505 172,44335355 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-17 9,6355 9,6305 18,0576 18,0576 173,9940048 173,9037168 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-18 9,6085 9,6035 18,1411 18,1411 174,30875935 174,21805385 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-21 9,5915 9,5865 18,2765 18,2765 175,29904975 175,20766725 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-22 9,5585 9,5535 18,3244 18,3244 175,1537774 175,0621554 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-23 9,5155 9,5105 18,3548 18,3548 174,6550994 174,5633254 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-24 9,5125 9,5075 18,2891 18,2891 173,97506375 173,88361825 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-25 9,4965 9,4915 18,3709 18,3709 174,45925185 174,36739735 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-28 9,4835 9,4785 18,299 18,299 173,5385665 173,4470715 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-29 9,4785 9,4735 18,3333 18,3333 173,77218405 173,68051755 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-11-30 9,5295 9,5245 18,3163 18,3163 174,54518085 174,45359935 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-01 9,5165 9,5115 18,594 18,594 176,949801 176,856831 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-02 9,4905 9,4855 18,7038 18,7038 177,5084139 177,4148949 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-05 9,4065 9,4015 18,6866 18,6866 175,7755029 175,6820699 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-06 9,4185 9,4135 18,7845 18,7845 176,92181325 176,82789075 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-07 9,4255 9,4205 18,7561 18,7561 176,78562055 176,69184005 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-08 9,3965 9,3915 18,8398 18,8398 177,0281807 176,9339817 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-12 9,4315 9,4265 18,8214 18,8214 177,5140341 177,4199271 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-13 9,4295 9,4245 18,8947 18,8947 178,16757365 178,07310015 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-14 9,4365 9,4315 18,8516 18,8516 177,8931234 177,7988654 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-15 9,4345 9,4295 18,8579 18,8579 177,91485755 177,82056805 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-16 9,4765 9,4715 18,9418 18,9418 179,5019677 179,4072587 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-19 9,4535 9,4485 18,8655 18,8655 178,34500425 178,25067675 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-20 9,4015 9,3965 18,8551 18,8551 177,26622265 177,17194715 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-21 9,4485 9,4435 19,0039 19,0039 179,55834915 179,46332965 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-22 9,4365 9,4315 18,9855 18,9855 179,15667075 179,06174325 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-23 9,4425 9,4375 19,0259 19,0259 179,65206075 179,55693125 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-27 9,4915 9,4865 19,0925 19,0925 181,21646375 181,12100125 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-28 9,4345 9,4295 19,0735 19,0735 179,94893575 179,85356825 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-29 9,4115 9,4065 19,1527 19,1527 180,25563605 180,15987255 583385 SG Asset Management S.A. SGAM Fund Equities Euroland Cyclicals EUR 2005-12-30 9,4325 9,4275 19,0228 19,0228 179,432561 179,337447 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-03 9,0065 9,0015 13,5424 13,5424 121,9696256 121,9019136 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-04 9,0345 9,0295 13,5888 13,5888 122,7680136 122,7000696 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-05 9,0615 9,0565 13,4872 13,4872 122,2142628 122,1468268 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-07 9,0615 9,0565 13,7457 13,7457 124,55666055 124,48793205 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-10 9,08619 9,08119 13,762 13,762 125,04414678 124,97533678 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-11 9,08619 9,08119 13,6145 13,6145 123,703933755 123,635861255 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-12 9,0455 9,0405 13,4937 13,4937 122,05726335 121,98979485 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-13 9,0505 9,0455 13,5141 13,5141 122,30936205 122,24179155 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-14 9,0455 9,0405 13,5841 13,5841 122,87497655 122,80705605 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-17 9,0685 9,0635 13,6874 13,6874 124,1241869 124,0557499 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-18 9,0585 9,0535 13,6732 13,6732 123,8586822 123,7903162 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-19 9,0225 9,0175 13,6528 13,6528 123,182388 123,114124 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-20 9,0315 9,0265 13,5657 13,5657 122,51861955 122,45079105 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-21 9,0505 9,0455 13,5566 13,5566 122,6940083 122,6262253 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-24 9,0655 9,0605 13,5044 13,5044 122,4241382 122,3566162 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-25 9,0715 9,0665 13,6133 13,6133 123,49305095 123,42498445 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-26 9,0885 9,0835 13,5478 13,5478 123,1291803 123,0614413 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-27 9,0675 9,0625 13,5542 13,5542 122,9027085 122,8349375 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-28 9,0955 9,0905 13,4779 13,4779 122,58823945 122,52084995 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-01-31 9,1075 9,1025 13,5944 13,5944 123,810998 123,743026 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-01 9,1035 9,0985 13,6616 13,6616 124,3683756 124,3000676 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-02 9,0905 9,0855 13,728 13,728 124,794384 124,725744 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-03 9,0695 9,0645 13,697 13,697 124,2249415 124,1564565 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-04 9,0895 9,0845 13,7918 13,7918 125,3605661 125,2916071 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-07 9,0755 9,0705 13,8398 13,8398 125,6031049 125,5339059 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-08 9,0895 9,0845 13,8746 13,8746 126,1131767 126,0438037 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-09 9,0695 9,0645 13,8455 13,8455 125,57176225 125,50253475 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-10 9,0805 9,0755 13,8923 13,8923 126,14903015 126,07956865 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-11 9,0935 9,0885 14,08 14,08 128,03648 127,96608 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-14 9,1105 9,1055 14,0658 14,0658 128,1464709 128,0761419 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-15 9,0765 9,0715 14,1342 14,1342 128,2890663 128,2183953 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-16 9,0705 9,0655 13,9973 13,9973 126,96250965 126,89252315 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-17 9,0925 9,0875 13,9924 13,9924 127,225897 127,155935 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-18 9,0945 9,0895 13,9922 13,9922 127,2520629 127,1821019 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-21 9,1185 9,1135 13,91 13,91 126,838335 126,768785 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-22 9,0975 9,0925 13,8755 13,8755 126,23236125 126,16298375 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-23 9,1045 9,0995 13,8042 13,8042 125,6803389 125,6113179 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-24 9,0715 9,0665 13,8329 13,8329 125,48515235 125,41598785 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-25 9,0845 9,0795 13,9834 13,9834 127,0321973 126,9622803 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-02-28 9,0505 9,0455 13,9836 13,9836 126,5585718 126,4886538 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-01 9,0565 9,0515 14,099 14,099 127,6875935 127,6170985 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-02 9,0645 9,0595 14,107 14,107 127,8729015 127,8023665 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-03 9,0675 9,0625 14,0813 14,0813 127,68218775 127,61178125 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-04 9,0415 9,0365 14,2054 14,2054 128,4381241 128,3670971 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-07 9,0425 9,0375 14,231 14,231 128,6838175 128,6126625 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-08 9,0345 9,0295 14,1861 14,1861 128,16432045 128,09338995 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-09 9,0365 9,0315 14,1101 14,1101 127,50591865 127,43536815 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-10 9,0655 9,0605 14,0428 14,0428 127,3050034 127,2347894 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-11 9,0795 9,0745 14,097 14,097 127,9937115 127,9232265 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-14 9,0695 9,0645 14,0886 14,0886 127,7765577 127,7061147 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-15 9,1035 9,0985 14,189 14,189 129,1695615 129,0986165 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-16 9,0975 9,0925 13,9027 13,9027 126,47981325 126,41029975 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-17 9,1045 9,0995 13,9039 13,9039 126,58805755 126,51853805 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-18 9,1035 9,0985 13,964 13,964 127,121274 127,051454 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-21 9,1265 9,1215 13,9002 13,9002 126,8601753 126,7906743 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-22 9,1265 9,1215 13,9475 13,9475 127,29185875 127,22212125 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-23 9,1165 9,1115 13,9095 13,9095 126,80595675 126,73640925 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-24 9,1135 9,1085 14,0277 14,0277 127,84144395 127,77130545 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-29 9,1315 9,1265 14,0453 14,0453 128,25465695 128,18443045 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-30 9,1425 9,1375 13,9348 13,9348 127,398909 127,329235 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-03-31 9,1405 9,1355 13,9348 13,9348 127,3710394 127,3013654 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-01 9,1645 9,1595 13,979 13,979 128,1105455 128,0406505 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-04 9,1695 9,1645 13,8424 13,8424 126,9278868 126,8586748 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-05 9,1745 9,1695 13,9281 13,9281 127,78335345 127,71371295 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-06 9,1705 9,1655 14,0091 14,0091 128,47045155 128,40040605 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-07 9,1505 9,1455 14,055 14,055 128,6102775 128,5400025 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-08 9,1625 9,1575 14,0884 14,0884 129,084965 129,014523 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-11 9,1705 9,1655 14,1081 14,1081 129,37833105 129,30779055 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-12 9,1525 9,1475 14,0154 14,0154 128,2759485 128,2058715 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-13 9,1495 9,1445 14,1164 14,1164 129,1580018 129,0874198 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-14 9,1685 9,1635 14,0761 14,0761 129,05672285 128,98634235 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-15 9,1925 9,1875 13,7842 13,7842 126,7112585 126,6423375 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-18 9,1805 9,1755 13,4783 13,4783 123,73753315 123,67014165 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-19 9,2035 9,1985 13,5168 13,5168 124,4018688 124,3342848 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-20 9,1915 9,1865 13,4264 13,4264 123,4087556 123,3416236 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-21 9,1855 9,1805 13,4109 13,4109 123,18582195 123,11876745 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-22 9,1625 9,1575 13,5376 13,5376 124,03826 123,970572 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-25 9,1685 9,1635 13,5669 13,5669 124,38812265 124,32028815 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-26 9,1375 9,1325 13,5791 13,5791 124,07902625 124,01113075 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-27 9,1465 9,1415 13,3964 13,3964 122,5301726 122,4631906 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-28 9,1505 9,1455 13,3193 13,3193 121,87825465 121,81165815 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-04-29 9,1705 9,1655 13,3308 13,3308 122,2501014 122,1834474 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-02 9,1935 9,1885 13,459 13,459 123,7353165 123,6680215 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-03 9,2245 9,2195 13,5076 13,5076 124,6008562 124,5333182 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-04 9,1915 9,1865 13,6877 13,6877 125,81049455 125,74205605 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-06 9,1715 9,1665 13,6918 13,6918 125,5743437 125,5058847 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-09 9,1815 9,1765 13,6486 13,6486 125,3146209 125,2463779 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-10 9,1985 9,1935 13,4683 13,4683 123,88815755 123,82081605 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-11 9,2105 9,2055 13,4306 13,4306 123,7025413 123,6353883 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-12 9,2315 9,2265 13,5742 13,5742 125,3102273 125,2423563 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-13 9,2045 9,1995 13,5598 13,5598 124,8111791 124,7433801 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-17 9,2325 9,2275 13,4991 13,4991 124,63044075 124,56294525 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-18 9,2095 9,2045 13,746 13,746 126,593787 126,525057 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-19 9,1905 9,1855 13,8261 13,8261 127,06877205 126,99964155 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-20 9,1955 9,1905 13,7802 13,7802 126,7158291 126,6469281 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-23 9,1805 9,1755 13,8803 13,8803 127,42809415 127,35869265 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-24 9,1815 9,1765 13,8537 13,8537 127,19774655 127,12847805 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-25 9,1785 9,1735 13,823 13,823 126,8744055 126,8052905 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-26 9,1945 9,1895 13,9491 13,9491 128,25499995 128,18525445 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-27 9,1955 9,1905 13,9819 13,9819 128,57056145 128,50065195 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-30 9,1905 9,1855 14,0699 14,0699 129,30941595 129,23906645 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-05-31 9,1665 9,1615 14,012 14,012 128,440998 128,370938 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-01 9,1455 9,1405 14,1918 14,1918 129,7911069 129,7201479 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-02 9,1565 9,1515 14,2124 14,2124 130,1358406 130,0647786 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-03 9,1315 9,1265 14,1284 14,1284 129,0134846 128,9428426 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-07 9,1455 9,1405 14,2072 14,2072 129,9319476 129,8609116 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-08 9,1455 9,1405 14,1705 14,1705 129,59630775 129,52545525 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-09 9,1965 9,1915 14,2289 14,2289 130,85607885 130,78493435 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-10 9,1975 9,1925 14,3044 14,3044 131,564719 131,493197 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-13 9,2365 9,2315 14,342 14,342 132,469883 132,398173 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-14 9,2985 9,2935 14,33 14,33 133,247505 133,175855 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-15 9,2695 9,2645 14,3509 14,3509 133,02566755 132,95391305 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-16 9,2695 9,2645 14,4485 14,4485 133,93037075 133,85812825 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-17 9,2695 9,2645 14,5188 14,5188 134,5820166 134,5094226 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-20 9,2255 9,2205 14,429 14,429 133,1147395 133,0425945 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-21 9,2725 9,2675 14,5138 14,5138 134,5792105 134,5066415 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-22 9,2615 9,2565 14,5536 14,5536 134,7881664 134,7153984 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-27 9,3855 9,3805 14,2303 14,2303 133,55848065 133,48732915 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-28 9,3995 9,3945 14,3126 14,3126 134,5312837 134,4597207 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-29 9,4215 9,4165 14,4135 14,4135 135,79679025 135,72472275 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-06-30 9,4415 9,4365 14,4416 14,4416 136,3503664 136,2781584 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-01 9,4595 9,4545 14,5569 14,5569 137,70099555 137,62821105 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-04 9,4795 9,4745 14,5381 14,5381 137,81391895 137,74122845 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-05 9,4575 9,4525 14,5132 14,5132 137,258589 137,186023 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-06 9,4195 9,4145 14,5715 14,5715 137,25624425 137,18338675 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-07 9,3965 9,3915 14,3007 14,3007 134,37652755 134,30502405 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-08 9,4175 9,4125 14,4978 14,4978 136,5330315 136,4605425 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-11 9,4665 9,4615 14,6812 14,6812 138,9795798 138,9061738 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-12 9,4645 9,4595 14,6337 14,6337 138,50065365 138,42748515 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-13 9,3915 9,3865 14,7687 14,7687 138,70024605 138,62640255 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-15 9,4055 9,4005 14,8936 14,8936 140,0817548 140,0072868 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-18 9,3895 9,3845 14,9051 14,9051 139,95143645 139,87691095 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-19 9,4425 9,4375 15,1217 15,1217 142,78665225 142,71104375 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-20 9,4265 9,4215 15,0868 15,0868 142,2157202 142,1402862 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-21 9,4625 9,4575 15,2118 15,2118 143,9416575 143,8655985 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-22 9,4495 9,4445 15,1665 15,1665 143,31584175 143,24000925 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-25 9,4275 9,4225 15,1361 15,1361 142,69558275 142,61990225 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-26 9,4155 9,4105 15,1663 15,1663 142,79829765 142,72246615 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-27 9,4725 9,4675 15,2207 15,2207 144,17808075 144,10197725 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-28 9,4515 9,4465 15,286 15,286 144,475629 144,399199 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-07-29 9,3885 9,3835 15,2177 15,2177 142,87137645 142,79528795 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-01 9,3985 9,3935 15,2136 15,2136 142,9850196 142,9089516 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-02 9,3995 9,3945 15,3156 15,3156 143,9589822 143,8824042 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-03 9,3755 9,3705 15,3071 15,3071 143,51171605 143,43518055 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-04 9,3735 9,3685 15,189 15,189 142,3740915 142,2981465 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-05 9,3355 9,3305 15,1115 15,1115 141,07340825 140,99785075 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-08 9,3335 9,3285 15,1342 15,1342 141,2550557 141,1793847 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-09 9,3455 9,3405 15,2722 15,2722 142,7263451 142,6499841 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-10 9,3535 9,3485 15,5268 15,5268 145,2299238 145,1522898 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-11 9,3365 9,3315 15,4747 15,4747 144,47953655 144,40216305 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-12 9,3025 9,2975 15,3354 15,3354 142,6575585 142,5808815 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-16 9,2995 9,2945 15,3108 15,3108 142,3827846 142,3062306 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-17 9,3405 9,3355 15,2432 15,2432 142,3791096 142,3028936 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-18 9,3365 9,3315 15,1622 15,1622 141,5618803 141,4860693 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-19 9,3395 9,3345 15,3286 15,3286 143,1614597 143,0848167 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-22 9,3655 9,3605 15,3265 15,3265 143,54033575 143,46370325 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-23 9,3715 9,3665 15,1773 15,1773 142,23406695 142,15818045 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-24 9,3365 9,3315 15,1433 15,1433 141,38542045 141,30970395 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-25 9,3335 9,3285 14,9789 14,9789 139,80556315 139,73066865 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-26 9,3415 9,3365 14,8362 14,8362 138,5923623 138,5181813 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-29 9,3295 9,3245 14,8854 14,8854 138,8733393 138,7989123 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-30 9,3285 9,3235 14,8567 14,8567 138,59072595 138,51644245 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-08-31 9,3585 9,3535 14,9723 14,9723 140,11826955 140,04340805 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-01 9,3365 9,3315 15,0274 15,0274 140,3033201 140,2281831 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-02 9,3025 9,2975 15,0038 15,0038 139,5728495 139,4978305 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-05 9,2845 9,2795 15,1194 15,1194 140,3760693 140,3004723 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-06 9,3225 9,3175 15,3201 15,3201 142,82163225 142,74503175 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-07 9,3075 9,3025 15,4382 15,4382 143,6910465 143,6138555 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-08 9,3255 9,3205 15,4625 15,4625 144,19554375 144,11823125 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-09 9,3445 9,3395 15,4875 15,4875 144,72294375 144,64550625 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-12 9,3015 9,2965 15,448 15,448 143,689572 143,612332 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-13 9,3015 9,2965 15,2864 15,2864 142,1864496 142,1100176 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-14 9,3365 9,3315 15,3407 15,3407 143,22844555 143,15174205 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-15 9,3425 9,3375 15,3448 15,3448 143,358794 143,28207 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-16 9,3465 9,3415 15,4347 15,4347 144,26042355 144,18325005 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-19 9,3355 9,3305 15,3764 15,3764 143,5463822 143,4695002 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-20 9,3395 9,3345 15,4956 15,4956 144,7211562 144,6436782 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-21 9,3405 9,3355 15,2944 15,2944 142,8573432 142,7808712 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-22 9,3405 9,3355 15,2184 15,2184 142,1474652 142,0713732 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-23 9,3695 9,3645 15,3325 15,3325 143,65785875 143,58119625 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-26 9,3815 9,3765 15,6781 15,6781 147,08409515 147,00570465 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-27 9,3885 9,3835 15,6071 15,6071 146,52725835 146,44922285 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-28 9,3935 9,3885 15,86 15,86 148,98091 148,90161 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-29 9,3845 9,3795 15,8015 15,8015 148,28917675 148,21016925 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-09-30 9,3435 9,3385 15,8737 15,8737 148,31591595 148,23654745 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-03 9,3025 9,2975 15,969 15,969 148,5516225 148,4717775 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-04 9,3185 9,3135 16,0777 16,0777 149,82004745 149,73965895 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-05 9,3105 9,3055 15,9005 15,9005 148,04160525 147,96210275 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-06 9,3015 9,2965 15,7467 15,7467 146,46793005 146,38919655 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-07 9,3385 9,3335 15,6853 15,6853 146,47717405 146,39874755 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-10 9,3465 9,3415 15,7454 15,7454 147,1643811 147,0856541 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-11 9,3395 9,3345 15,7961 15,7961 147,52767595 147,44869545 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-12 9,3375 9,3325 15,7281 15,7281 146,86113375 146,78249325 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-13 9,3815 9,3765 15,5927 15,5927 146,28291505 146,20495155 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-14 9,4135 9,4085 15,7546 15,7546 148,3059271 148,2271541 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-17 9,4575 9,4525 15,7434 15,7434 148,8932055 148,8144885 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-18 9,4625 9,4575 15,6469 15,6469 148,05879125 147,98055675 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-19 9,4605 9,4555 15,3669 15,3669 145,37855745 145,30172295 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-20 9,4935 9,4885 15,4466 15,4466 146,6422971 146,5650641 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-21 9,4915 9,4865 15,3715 15,3715 145,89859225 145,82173475 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-24 9,5455 9,5405 15,5679 15,5679 148,60338945 148,52554995 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-25 9,5465 9,5415 15,5235 15,5235 148,19509275 148,11747525 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-26 9,4975 9,4925 15,6312 15,6312 148,457322 148,379166 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-27 9,5355 9,5305 15,4287 15,4287 147,12036885 147,04322535 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-28 9,5135 9,5085 15,4029 15,4029 146,53548915 146,45847465 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-10-31 9,5495 9,5445 15,8112 15,8112 150,9890544 150,9099984 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-02 9,5855 9,5805 15,883 15,883 152,2464965 152,1670815 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-03 9,6515 9,6465 16,1619 16,1619 155,98657785 155,90576835 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-04 9,5875 9,5825 16,1093 16,1093 154,44791375 154,36736725 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-07 9,6075 9,6025 16,1384 16,1384 155,049678 154,968986 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-08 9,5685 9,5635 16,1071 16,1071 154,12078635 154,04025085 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-09 9,5575 9,5525 16,0808 16,0808 153,692246 153,611842 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-10 9,6105 9,6055 16,2832 16,2832 156,4896936 156,4082776 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-14 9,5505 9,5455 16,5046 16,5046 157,6271823 157,5446593 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-15 9,5805 9,5755 16,5221 16,5221 158,28997905 158,20736855 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-16 9,6235 9,6185 16,4562 16,4562 158,3662407 158,2839597 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-17 9,6355 9,6305 16,5169 16,5169 159,14858995 159,06600545 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-18 9,6085 9,6035 16,6497 16,6497 159,97864245 159,89539395 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-21 9,5915 9,5865 16,7213 16,7213 160,38234895 160,29874245 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-22 9,5585 9,5535 16,7125 16,7125 159,74643125 159,66286875 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-23 9,5155 9,5105 16,8206 16,8206 160,0564193 159,9723163 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-24 9,5125 9,5075 16,7563 16,7563 159,39430375 159,31052225 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-25 9,4965 9,4915 16,7748 16,7748 159,3018882 159,2180142 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-28 9,4835 9,4785 16,7827 16,7827 159,15873545 159,07482195 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-29 9,4785 9,4735 16,8426 16,8426 159,6425841 159,5583711 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-11-30 9,5295 9,5245 16,7409 16,7409 159,53240655 159,44870205 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-01 9,5165 9,5115 17,0119 17,0119 161,89374635 161,80868685 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-02 9,4905 9,4855 17,1115 17,1115 162,39669075 162,31113325 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-05 9,4065 9,4015 16,9845 16,9845 159,76469925 159,67977675 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-06 9,4185 9,4135 17,0771 17,0771 160,84066635 160,75528085 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-07 9,4255 9,4205 17,003 17,003 160,2617765 160,1767615 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-08 9,3965 9,3915 16,99 16,99 159,646535 159,561585 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-12 9,4315 9,4265 17,0495 17,0495 160,80235925 160,71711175 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-13 9,4295 9,4245 17,0218 17,0218 160,5070631 160,4219541 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-14 9,4365 9,4315 16,9775 16,9775 160,20817875 160,12329125 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-15 9,4345 9,4295 16,9535 16,9535 159,94779575 159,86302825 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-16 9,4765 9,4715 17,1834 17,1834 162,8384901 162,7525731 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-19 9,4535 9,4485 17,2296 17,2296 162,8800236 162,7938756 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-20 9,4015 9,3965 17,3241 17,3241 162,87252615 162,78590565 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-21 9,4485 9,4435 17,4982 17,4982 165,3317427 165,2442517 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-22 9,4365 9,4315 17,5291 17,5291 165,41335215 165,32570665 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-23 9,4425 9,4375 17,5311 17,5311 165,53741175 165,44975625 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-27 9,4915 9,4865 17,599 17,599 167,0409085 166,9529135 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-28 9,4345 9,4295 17,5857 17,5857 165,91228665 165,82435815 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-29 9,4115 9,4065 17,6154 17,6154 165,7873371 165,6992601 511725 SG Asset Management S.A. SGAM Fund Equities Euroland Financial EUR 2005-12-30 9,4325 9,4275 17,438 17,438 164,483935 164,396745 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-03 9,0065 9,0015 20,7438 20,7438 186,8290347 186,7253157 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-04 9,0345 9,0295 20,7663 20,7663 187,61313735 187,50930585 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-05 9,0615 9,0565 20,6544 20,6544 187,1598456 187,0565736 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-07 9,0615 9,0565 20,8159 20,8159 188,62327785 188,51919835 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-10 9,08619 9,08119 20,8112 20,8112 189,094517328 188,990461328 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-11 9,08619 9,08119 20,6693 20,6693 187,805186967 187,701840467 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-12 9,0455 9,0405 20,615 20,615 186,4729825 186,3699075 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-13 9,0505 9,0455 20,7134 20,7134 187,4666267 187,3630597 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-14 9,0455 9,0405 20,7896 20,7896 188,0523268 187,9483788 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-17 9,0685 9,0635 20,9068 20,9068 189,5933158 189,4887818 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-18 9,0585 9,0535 20,8712 20,8712 189,0617652 188,9574092 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-19 9,0225 9,0175 20,9806 20,9806 189,2974635 189,1925605 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-20 9,0315 9,0265 20,9208 20,9208 188,9462052 188,8416012 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-21 9,0505 9,0455 20,9779 20,9779 189,86048395 189,75559445 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-24 9,0655 9,0605 20,9267 20,9267 189,71099885 189,60636535 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-25 9,0715 9,0665 21,0892 21,0892 191,3106778 191,2052318 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-26 9,0885 9,0835 21,109 21,109 191,8491465 191,7436015 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-27 9,0675 9,0625 21,1266 21,1266 191,5654455 191,4598125 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-28 9,0955 9,0905 21,167 21,167 192,5244485 192,4186135 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-01-31 9,1075 9,1025 21,1938 21,1938 193,0225335 192,9165645 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-01 9,1035 9,0985 21,3288 21,3288 194,1667308 194,0600868 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-02 9,0905 9,0855 21,324 21,324 193,845822 193,739202 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-03 9,0695 9,0645 21,3025 21,3025 193,20302375 193,09651125 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-04 9,0895 9,0845 21,4891 21,4891 195,32517445 195,21772895 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-07 9,0755 9,0705 21,652 21,652 196,502726 196,394466 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-08 9,0895 9,0845 21,6927 21,6927 197,17579665 197,06733315 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-09 9,0695 9,0645 21,6561 21,6561 196,40999895 196,30171845 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-10 9,0805 9,0755 21,6266 21,6266 196,3803413 196,2722083 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-11 9,0935 9,0885 21,7674 21,7674 197,9418519 197,8330149 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-14 9,1105 9,1055 21,8094 21,8094 198,6945387 198,5854917 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-15 9,0765 9,0715 21,9361 21,9361 199,10301165 198,99333115 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-16 9,0705 9,0655 21,8649 21,8649 198,32557545 198,21625095 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-17 9,0925 9,0875 21,9938 21,9938 199,9786265 199,8686575 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-18 9,0945 9,0895 22,0094 22,0094 200,1644883 200,0544413 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-21 9,1185 9,1135 21,9055 21,9055 199,74530175 199,63577425 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-22 9,0975 9,0925 21,7644 21,7644 198,001629 197,892807 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-23 9,1045 9,0995 21,6459 21,6459 197,07509655 196,96686705 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-24 9,0715 9,0665 21,7574 21,7574 197,3722541 197,2634671 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-25 9,0845 9,0795 21,9881 21,9881 199,75089445 199,64095395 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-02-28 9,0505 9,0455 22,0643 22,0643 199,69294715 199,58262565 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-01 9,0565 9,0515 22,107 22,107 200,2120455 200,1015105 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-02 9,0645 9,0595 22,0326 22,0326 199,7145027 199,6043397 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-03 9,0675 9,0625 22,0213 22,0213 199,67813775 199,56803125 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-04 9,0415 9,0365 22,1318 22,1318 200,1046697 199,9940107 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-07 9,0425 9,0375 22,1349 22,1349 200,15483325 200,04415875 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-08 9,0345 9,0295 21,982 21,982 198,596379 198,486469 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-09 9,0365 9,0315 21,9092 21,9092 197,9824858 197,8729398 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-10 9,0655 9,0605 21,7967 21,7967 197,59798385 197,48900035 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-11 9,0795 9,0745 21,8476 21,8476 198,3652842 198,2560462 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-14 9,0695 9,0645 21,8496 21,8496 198,1649472 198,0556992 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-15 9,1035 9,0985 21,9192 21,9192 199,5414372 199,4318412 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-16 9,0975 9,0925 21,6765 21,6765 197,20195875 197,09357625 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-17 9,1045 9,0995 21,5891 21,5891 196,55796095 196,45001545 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-18 9,1035 9,0985 21,6367 21,6367 196,96969845 196,86151495 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-21 9,1265 9,1215 21,5448 21,5448 196,6286172 196,5208932 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-22 9,1265 9,1215 21,505 21,505 196,2653825 196,1578575 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-23 9,1165 9,1115 21,4544 21,4544 195,5890376 195,4817656 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-24 9,1135 9,1085 21,54 21,54 196,30479 196,19709 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-29 9,1315 9,1265 21,5096 21,5096 196,4149124 196,3073644 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-30 9,1425 9,1375 21,4175 21,4175 195,80949375 195,70240625 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-03-31 9,1405 9,1355 21,4175 21,4175 195,76665875 195,65957125 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-01 9,1645 9,1595 21,7073 21,7073 198,93655085 198,82801435 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-04 9,1695 9,1645 21,6067 21,6067 198,12263565 198,01460215 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-05 9,1745 9,1695 21,7573 21,7573 199,61234885 199,50356235 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-06 9,1705 9,1655 21,8804 21,8804 200,6542082 200,5448062 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-07 9,1505 9,1455 21,9644 21,9644 200,9852422 200,8754202 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-08 9,1625 9,1575 21,9797 21,9797 201,38900125 201,27910275 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-11 9,1705 9,1655 21,947 21,947 201,2649635 201,1552285 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-12 9,1525 9,1475 21,9165 21,9165 200,59076625 200,48118375 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-13 9,1495 9,1445 22,0036 22,0036 201,3219382 201,2119202 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-14 9,1685 9,1635 21,8415 21,8415 200,25379275 200,14458525 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-15 9,1925 9,1875 21,4499 21,4499 197,17820575 197,07095625 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-18 9,1805 9,1755 20,9965 20,9965 192,75836825 192,65338575 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-19 9,2035 9,1985 21,1014 21,1014 194,2067349 194,1012279 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-20 9,1915 9,1865 21,0941 21,0941 193,88642015 193,78094965 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-21 9,1855 9,1805 21,0858 21,0858 193,6836159 193,5781869 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-22 9,1625 9,1575 21,2271 21,2271 194,49330375 194,38716825 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-25 9,1685 9,1635 21,1926 21,1926 194,3043531 194,1983901 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-26 9,1375 9,1325 21,2238 21,2238 193,9324725 193,8263535 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-27 9,1465 9,1415 20,8909 20,8909 191,07861685 190,97416235 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-28 9,1505 9,1455 20,7133 20,7133 189,53705165 189,43348515 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-04-29 9,1705 9,1655 20,7408 20,7408 190,2035064 190,0998024 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-02 9,1935 9,1885 20,9083 20,9083 192,22045605 192,11591455 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-03 9,2245 9,2195 20,9345 20,9345 193,11029525 193,00562275 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-04 9,1915 9,1865 21,0666 21,0666 193,6336539 193,5283209 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-06 9,1715 9,1665 21,0872 21,0872 193,4012548 193,2958188 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-09 9,1815 9,1765 21,0372 21,0372 193,1530518 193,0478658 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-10 9,1985 9,1935 20,9799 20,9799 192,98361015 192,87871065 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-11 9,2105 9,2055 21,0504 21,0504 193,8847092 193,7794572 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-12 9,2315 9,2265 21,1578 21,1578 195,3182307 195,2124417 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-13 9,2045 9,1995 21,1861 21,1861 195,00745745 194,90152695 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-17 9,2325 9,2275 21,1396 21,1396 195,171357 195,065659 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-18 9,2095 9,2045 21,4111 21,4111 197,18552545 197,07846995 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-19 9,1905 9,1855 21,5095 21,5095 197,68305975 197,57551225 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-20 9,1955 9,1905 21,612 21,612 198,733146 198,625086 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-23 9,1805 9,1755 21,654 21,654 198,794547 198,686277 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-24 9,1815 9,1765 21,6606 21,6606 198,8767989 198,7684959 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-25 9,1785 9,1735 21,6813 21,6813 199,00181205 198,89340555 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-26 9,1945 9,1895 21,8257 21,8257 200,67639865 200,56727015 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-27 9,1955 9,1905 21,7694 21,7694 200,1805177 200,0716707 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-30 9,1905 9,1855 21,8661 21,8661 200,96039205 200,85106155 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-05-31 9,1665 9,1615 21,8709 21,8709 200,47960485 200,37025035 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-01 9,1455 9,1405 22,1311 22,1311 202,39997505 202,28931955 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-02 9,1565 9,1515 22,1349 22,1349 202,67821185 202,56753735 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-03 9,1315 9,1265 22,1467 22,1467 202,23259105 202,12185755 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-07 9,1455 9,1405 22,2168 22,2168 203,1837444 203,0726604 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-08 9,1455 9,1405 22,266 22,266 203,633703 203,522373 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-09 9,1965 9,1915 22,2643 22,2643 204,75363495 204,64231345 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-10 9,1975 9,1925 22,4151 22,4151 206,16288225 206,05080675 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-13 9,2365 9,2315 22,4962 22,4962 207,7861513 207,6736703 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-14 9,2985 9,2935 22,4862 22,4862 209,0879307 208,9754997 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-15 9,2695 9,2645 22,4425 22,4425 208,03075375 207,91854125 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-16 9,2695 9,2645 22,5154 22,5154 208,7065003 208,5939233 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-17 9,2695 9,2645 22,5732 22,5732 209,2422774 209,1294114 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-20 9,2255 9,2205 22,5324 22,5324 207,8726562 207,7599942 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-21 9,2725 9,2675 22,5864 22,5864 209,432394 209,319462 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-22 9,2615 9,2565 22,7124 22,7124 210,3508926 210,2373306 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-27 9,3855 9,3805 22,4116 22,4116 210,3440718 210,2320138 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-28 9,3995 9,3945 22,5423 22,5423 211,88634885 211,77363735 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-29 9,4215 9,4165 22,7159 22,7159 214,01785185 213,90427235 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-06-30 9,4415 9,4365 22,7386 22,7386 214,6864919 214,5727989 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-01 9,4595 9,4545 22,8392 22,8392 216,0474124 215,9332164 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-04 9,4795 9,4745 22,8709 22,8709 216,80469655 216,69034205 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-05 9,4575 9,4525 22,8492 22,8492 216,096309 215,982063 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-06 9,4195 9,4145 22,9716 22,9716 216,3809862 216,2661282 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-07 9,3965 9,3915 22,7143 22,7143 213,43491995 213,32134845 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-08 9,4175 9,4125 22,9477 22,9477 216,10996475 215,99522625 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-11 9,4665 9,4615 23,0952 23,0952 218,6307108 218,5152348 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-12 9,4645 9,4595 23,111 23,111 218,7340595 218,6185045 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-13 9,3915 9,3865 23,2033 23,2033 217,91379195 217,79777545 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-15 9,4055 9,4005 23,154 23,154 217,774947 217,659177 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-18 9,3895 9,3845 23,2087 23,2087 217,91808865 217,80204515 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-19 9,4425 9,4375 23,3873 23,3873 220,83458025 220,71764375 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-20 9,4265 9,4215 23,3531 23,3531 220,13799715 220,02123165 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-21 9,4625 9,4575 23,4008 23,4008 221,43007 221,313066 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-22 9,4495 9,4445 23,4794 23,4794 221,8685903 221,7511933 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-25 9,4275 9,4225 23,5017 23,5017 221,56227675 221,44476825 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-26 9,4155 9,4105 23,6167 23,6167 222,36303885 222,24495535 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-27 9,4725 9,4675 23,7095 23,7095 224,58823875 224,46969125 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-28 9,4515 9,4465 23,7623 23,7623 224,58937845 224,47056695 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-07-29 9,3885 9,3835 23,7221 23,7221 222,71493585 222,59632535 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-01 9,3985 9,3935 23,7609 23,7609 223,31681865 223,19801415 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-02 9,3995 9,3945 23,8575 23,8575 224,24857125 224,12928375 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-03 9,3755 9,3705 23,8574 23,8574 223,6750537 223,5557667 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-04 9,3735 9,3685 23,74 23,74 222,52689 222,40819 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-05 9,3355 9,3305 23,605 23,605 220,3644775 220,2464525 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-08 9,3335 9,3285 23,6791 23,6791 221,00887985 220,89048435 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-09 9,3455 9,3405 23,7839 23,7839 222,27243745 222,15351795 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-10 9,3535 9,3485 23,8829 23,8829 223,38870515 223,26929065 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-11 9,3365 9,3315 23,8074 23,8074 222,2777901 222,1587531 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-12 9,3025 9,2975 23,7143 23,7143 220,60227575 220,48370425 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-16 9,2995 9,2945 23,6414 23,6414 219,8531993 219,7349923 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-17 9,3405 9,3355 23,5467 23,5467 219,93795135 219,82021785 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-18 9,3365 9,3315 23,4575 23,4575 219,01094875 218,89366125 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-19 9,3395 9,3345 23,5665 23,5665 220,09932675 219,98149425 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-22 9,3655 9,3605 23,6193 23,6193 221,20655415 221,08845765 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-23 9,3715 9,3665 23,4962 23,4962 220,1946383 220,0771573 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-24 9,3365 9,3315 23,3987 23,3987 218,46196255 218,34496905 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-25 9,3335 9,3285 23,2497 23,2497 217,00107495 216,88482645 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-26 9,3415 9,3365 23,1659 23,1659 216,40425485 216,28842535 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-29 9,3295 9,3245 23,1387 23,1387 215,87250165 215,75680815 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-30 9,3285 9,3235 23,1995 23,1995 216,41653575 216,30053825 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-08-31 9,3585 9,3535 23,472 23,472 219,662712 219,545352 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-01 9,3365 9,3315 23,6718 23,6718 221,0117607 220,8934017 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-02 9,3025 9,2975 23,5916 23,5916 219,460859 219,342901 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-05 9,2845 9,2795 23,7197 23,7197 220,22555465 220,10695615 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-06 9,3225 9,3175 23,8162 23,8162 222,0265245 221,9074435 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-07 9,3075 9,3025 23,9935 23,9935 223,31950125 223,19953375 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-08 9,3255 9,3205 23,9605 23,9605 223,44364275 223,32384025 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-09 9,3445 9,3395 24,0203 24,0203 224,45769335 224,33759185 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-12 9,3015 9,2965 24,0732 24,0732 223,9168698 223,7965038 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-13 9,3015 9,2965 23,9714 23,9714 222,9699771 222,8501201 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-14 9,3365 9,3315 24,0464 24,0464 224,5092136 224,3889816 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-15 9,3425 9,3375 24,0993 24,0993 225,14771025 225,02721375 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-16 9,3465 9,3415 24,2107 24,2107 226,28530755 226,16425405 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-19 9,3355 9,3305 24,2506 24,2506 226,3914763 226,2702233 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-20 9,3395 9,3345 24,3128 24,3128 227,0693956 226,9478316 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-21 9,3405 9,3355 24,0731 24,0731 224,85479055 224,73442505 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-22 9,3405 9,3355 24,0286 24,0286 224,4391383 224,3189953 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-23 9,3695 9,3645 24,0759 24,0759 225,57914505 225,45876555 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-26 9,3815 9,3765 24,3122 24,3122 228,0849043 227,9633433 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-27 9,3885 9,3835 24,2648 24,2648 227,8100748 227,6887508 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-28 9,3935 9,3885 24,4 24,4 229,2014 229,0794 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-29 9,3845 9,3795 24,4377 24,4377 229,33559565 229,21340715 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-09-30 9,3435 9,3385 24,5597 24,5597 229,47355695 229,35075845 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-03 9,3025 9,2975 24,6209 24,6209 229,03592225 228,91281775 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-04 9,3185 9,3135 24,7368 24,7368 230,5098708 230,3861868 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-05 9,3105 9,3055 24,5317 24,5317 228,40239285 228,27973435 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-06 9,3015 9,2965 24,2371 24,2371 225,44138565 225,32020015 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-07 9,3385 9,3335 24,172 24,172 225,730222 225,609362 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-10 9,3465 9,3415 24,2243 24,2243 226,41241995 226,29129845 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-11 9,3395 9,3345 24,3612 24,3612 227,5214274 227,3996214 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-12 9,3375 9,3325 24,2081 24,2081 226,04313375 225,92209325 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-13 9,3815 9,3765 23,7807 23,7807 223,09863705 222,97973355 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-14 9,4135 9,4085 23,722 23,722 223,307047 223,188437 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-17 9,4575 9,4525 23,7943 23,7943 225,03459225 224,91562075 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-18 9,4625 9,4575 23,6663 23,6663 223,94236375 223,82403225 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-19 9,4605 9,4555 23,1052 23,1052 218,5867446 218,4712186 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-20 9,4935 9,4885 23,2468 23,2468 220,6934958 220,5772618 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-21 9,4915 9,4865 23,1041 23,1041 219,29256515 219,17704465 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-24 9,5455 9,5405 23,3836 23,3836 223,2081538 223,0912358 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-25 9,5465 9,5415 23,3701 23,3701 223,10265965 222,98580915 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-26 9,4975 9,4925 23,4067 23,4067 222,30513325 222,18809975 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-27 9,5355 9,5305 23,0587 23,0587 219,87623385 219,76094035 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-28 9,5135 9,5085 23,0845 23,0845 219,61439075 219,49896825 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-10-31 9,5495 9,5445 23,6012 23,6012 225,3796594 225,2616534 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-02 9,5855 9,5805 23,5975 23,5975 226,19383625 226,07584875 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-03 9,6515 9,6465 23,9147 23,9147 230,81272705 230,69315355 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-04 9,5875 9,5825 23,8803 23,8803 228,95237625 228,83297475 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-07 9,6075 9,6025 23,8845 23,8845 229,47033375 229,35091125 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-08 9,5685 9,5635 23,8557 23,8557 228,26326545 228,14398695 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-09 9,5575 9,5525 23,8674 23,8674 228,1126755 227,9933385 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-10 9,6105 9,6055 23,8093 23,8093 228,81927765 228,70023115 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-14 9,5505 9,5455 24,0371 24,0371 229,56632355 229,44613805 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-15 9,5805 9,5755 23,9939 23,9939 229,87355895 229,75358945 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-16 9,6235 9,6185 23,8964 23,8964 229,9670054 229,8475234 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-17 9,6355 9,6305 24,107 24,107 232,2829985 232,1624635 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-18 9,6085 9,6035 24,2667 24,2667 233,16658695 233,04525345 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-21 9,5915 9,5865 24,3337 24,3337 233,39668355 233,27501505 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-22 9,5585 9,5535 24,4378 24,4378 233,5887113 233,4665223 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-23 9,5155 9,5105 24,5356 24,5356 233,4685018 233,3458238 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-24 9,5125 9,5075 24,488 24,488 232,9421 232,81966 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-25 9,4965 9,4915 24,5677 24,5677 233,30716305 233,18432455 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-28 9,4835 9,4785 24,5351 24,5351 232,67862085 232,55594535 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-29 9,4785 9,4735 24,5562 24,5562 232,7559417 232,6331607 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-11-30 9,5295 9,5245 24,4668 24,4668 233,1563706 233,0340366 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-01 9,5165 9,5115 24,7671 24,7671 235,69610715 235,57227165 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-02 9,4905 9,4855 24,9334 24,9334 236,6304327 236,5057657 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-05 9,4065 9,4015 24,9104 24,9104 234,3196776 234,1951256 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-06 9,4185 9,4135 24,9766 24,9766 235,2421071 235,1172241 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-07 9,4255 9,4205 25,0436 25,0436 236,0484518 235,9232338 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-08 9,3965 9,3915 25,0049 25,0049 234,95854285 234,83351835 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-12 9,4315 9,4265 25,048 25,048 236,240212 236,114972 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-13 9,4295 9,4245 25,01 25,01 235,831795 235,706745 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-14 9,4365 9,4315 25,0043 25,0043 235,95307695 235,82805545 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-15 9,4345 9,4295 24,9193 24,9193 235,10113585 234,97653935 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-16 9,4765 9,4715 25,0022 25,0022 236,9333483 236,8083373 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-19 9,4535 9,4485 24,9721 24,9721 236,07374735 235,94888685 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-20 9,4015 9,3965 25,0175 25,0175 235,20202625 235,07693875 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-21 9,4485 9,4435 25,1895 25,1895 238,00299075 237,87704325 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-22 9,4365 9,4315 25,1815 25,1815 237,62522475 237,49931725 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-23 9,4425 9,4375 25,2119 25,2119 238,06336575 237,93730625 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-27 9,4915 9,4865 25,3506 25,3506 240,6152199 240,4884669 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-28 9,4345 9,4295 25,3668 25,3668 239,3230746 239,1962406 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-29 9,4115 9,4065 25,4371 25,4371 239,40126665 239,27408115 585158 SG Asset Management S.A. SGAM Fund Equities Euroland Mid Cap EUR 2005-12-30 9,4325 9,4275 25,3933 25,3933 239,52230225 239,39533575 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-03 9,0065 9,0015 13,6524 13,6524 122,9603406 122,8920786 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-04 9,0345 9,0295 13,647 13,647 123,2938215 123,2255865 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-05 9,0615 9,0565 13,5801 13,5801 123,05607615 122,98817565 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-07 9,0615 9,0565 13,6501 13,6501 123,69038115 123,62213065 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-10 9,08619 9,08119 13,5963 13,5963 123,538565097 123,470583597 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-11 9,08619 9,08119 13,5087 13,5087 122,742614853 122,675071353 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-12 9,0455 9,0405 13,4336 13,4336 121,5136288 121,4464608 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-13 9,0505 9,0455 13,4883 13,4883 122,07585915 122,00841765 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-14 9,0455 9,0405 13,5101 13,5101 122,20560955 122,13805905 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-17 9,0685 9,0635 13,5343 13,5343 122,73579955 122,66812805 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-18 9,0585 9,0535 13,5131 13,5131 122,40841635 122,34085085 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-19 9,0225 9,0175 13,5088 13,5088 121,883148 121,815604 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-20 9,0315 9,0265 13,4617 13,4617 121,57934355 121,51203505 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-21 9,0505 9,0455 13,5049 13,5049 122,22609745 122,15857295 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-24 9,0655 9,0605 13,4761 13,4761 122,16758455 122,10020405 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-25 9,0715 9,0665 13,5701 13,5701 123,10116215 123,03331165 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-26 9,0885 9,0835 13,5817 13,5817 123,43728045 123,36937195 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-27 9,0675 9,0625 13,5848 13,5848 123,180174 123,11225 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-28 9,0955 9,0905 13,5542 13,5542 123,2822261 123,2144551 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-01-31 9,1075 9,1025 13,7162 13,7162 124,9202915 124,8517105 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-01 9,1035 9,0985 13,7588 13,7588 125,2532358 125,1844418 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-02 9,0905 9,0855 13,8042 13,8042 125,4870801 125,4180591 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-03 9,0695 9,0645 13,8037 13,8037 125,19265715 125,12363865 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-04 9,0895 9,0845 13,9164 13,9164 126,4931178 126,4235358 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-07 9,0755 9,0705 13,9501 13,9501 126,60413255 126,53438205 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-08 9,0895 9,0845 13,94 13,94 126,70763 126,63793 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-09 9,0695 9,0645 13,8835 13,8835 125,91640325 125,84698575 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-10 9,0805 9,0755 13,8542 13,8542 125,8030631 125,7337921 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-11 9,0935 9,0885 13,9695 13,9695 127,03164825 126,96180075 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-14 9,1105 9,1055 13,9418 13,9418 127,0167689 126,9470599 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-15 9,0765 9,0715 13,9874 13,9874 126,9566361 126,8866991 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-16 9,0705 9,0655 13,9358 13,9358 126,4046739 126,3349949 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-17 9,0925 9,0875 13,888 13,888 126,27664 126,2072 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-18 9,0945 9,0895 13,8623 13,8623 126,07068735 126,00137585 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-21 9,1185 9,1135 13,7776 13,7776 125,6310456 125,5621576 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-22 9,0975 9,0925 13,701 13,701 124,6448475 124,5763425 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-23 9,1045 9,0995 13,6636 13,6636 124,4002462 124,3319282 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-24 9,0715 9,0665 13,5756 13,5756 123,1510554 123,0831774 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-25 9,0845 9,0795 13,6899 13,6899 124,36589655 124,29744705 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-02-28 9,0505 9,0455 13,6715 13,6715 123,73391075 123,66555325 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-01 9,0565 9,0515 13,7691 13,7691 124,69985415 124,63100865 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-02 9,0645 9,0595 13,7405 13,7405 124,55076225 124,48205975 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-03 9,0675 9,0625 13,6884 13,6884 124,119567 124,051125 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-04 9,0415 9,0365 13,8013 13,8013 124,78445395 124,71544745 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-07 9,0425 9,0375 13,8505 13,8505 125,24314625 125,17389375 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-08 9,0345 9,0295 13,7122 13,7122 123,8828709 123,8143099 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-09 9,0365 9,0315 13,6058 13,6058 122,9488117 122,8807827 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-10 9,0655 9,0605 13,4756 13,4756 122,1630518 122,0956738 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-11 9,0795 9,0745 13,4771 13,4771 122,36532945 122,29794395 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-14 9,0695 9,0645 13,4624 13,4624 122,0972368 122,0299248 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-15 9,1035 9,0985 13,5932 13,5932 123,7456962 123,6777302 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-16 9,0975 9,0925 13,4521 13,4521 122,38047975 122,31321925 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-17 9,1045 9,0995 13,5177 13,5177 123,07189965 123,00431115 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-18 9,1035 9,0985 13,5468 13,5468 123,3232938 123,2555598 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-21 9,1265 9,1215 13,4844 13,4844 123,0653766 122,9979546 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-22 9,1265 9,1215 13,5689 13,5689 123,83656585 123,76872135 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-23 9,1165 9,1115 13,5453 13,5453 123,48572745 123,41800095 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-24 9,1135 9,1085 13,6898 13,6898 124,7619923 124,6935433 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-29 9,1315 9,1265 13,733 13,733 125,4028895 125,3342245 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-30 9,1425 9,1375 13,728 13,728 125,50824 125,4396 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-03-31 9,1405 9,1355 13,728 13,728 125,480784 125,412144 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-01 9,1645 9,1595 13,7215 13,7215 125,75068675 125,68207925 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-04 9,1695 9,1645 13,6438 13,6438 125,1068241 125,0386051 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-05 9,1745 9,1695 13,8142 13,8142 126,7383779 126,6693069 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-06 9,1705 9,1655 13,8709 13,8709 127,20308845 127,13373395 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-07 9,1505 9,1455 13,8952 13,8952 127,1480276 127,0785516 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-08 9,1625 9,1575 13,909 13,909 127,4412125 127,3716675 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-11 9,1705 9,1655 13,8796 13,8796 127,2828718 127,2134738 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-12 9,1525 9,1475 13,85 13,85 126,762125 126,692875 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-13 9,1495 9,1445 13,9759 13,9759 127,87249705 127,80261755 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-14 9,1685 9,1635 14,0411 14,0411 128,73582535 128,66561985 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-15 9,1925 9,1875 13,8777 13,8777 127,57075725 127,50136875 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-18 9,1805 9,1755 13,6261 13,6261 125,09441105 125,02628055 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-19 9,2035 9,1985 13,6579 13,6579 125,70048265 125,63219315 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-20 9,1915 9,1865 13,6082 13,6082 125,0797703 125,0117293 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-21 9,1855 9,1805 13,6635 13,6635 125,50607925 125,43776175 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-22 9,1625 9,1575 13,7357 13,7357 125,85335125 125,78467275 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-25 9,1685 9,1635 13,7648 13,7648 126,2025688 126,1337448 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-26 9,1375 9,1325 13,7345 13,7345 125,49899375 125,43032125 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-27 9,1465 9,1415 13,5545 13,5545 123,97623425 123,90846175 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-28 9,1505 9,1455 13,501 13,501 123,5409005 123,4733955 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-04-29 9,1705 9,1655 13,6227 13,6227 124,92697035 124,85885685 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-02 9,1935 9,1885 13,6826 13,6826 125,7909831 125,7225701 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-03 9,2245 9,2195 13,7609 13,7609 126,93742205 126,86861755 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-04 9,1915 9,1865 13,8968 13,8968 127,7324372 127,6629532 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-06 9,1715 9,1665 13,9122 13,9122 127,5957423 127,5261813 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-09 9,1815 9,1765 13,8583 13,8583 127,23998145 127,17068995 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-10 9,1985 9,1935 13,8096 13,8096 127,0276056 126,9585576 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-11 9,2105 9,2055 13,7921 13,7921 127,03213705 126,96317655 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-12 9,2315 9,2265 13,8465 13,8465 127,82396475 127,75473225 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-13 9,2045 9,1995 13,8234 13,8234 127,2374853 127,1683683 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-17 9,2325 9,2275 13,8284 13,8284 127,670703 127,601561 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-18 9,2095 9,2045 13,9672 13,9672 128,6309284 128,5610924 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-19 9,1905 9,1855 13,9731 13,9731 128,41977555 128,34991005 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-20 9,1955 9,1905 14,0134 14,0134 128,8602197 128,7901527 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-23 9,1805 9,1755 14,1765 14,1765 130,14735825 130,07647575 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-24 9,1815 9,1765 14,1719 14,1719 130,11929985 130,04844035 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-25 9,1785 9,1735 14,1411 14,1411 129,79408635 129,72338085 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-26 9,1945 9,1895 14,2779 14,2779 131,27815155 131,20676205 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-27 9,1955 9,1905 14,2472 14,2472 131,0101276 130,9388916 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-30 9,1905 9,1855 14,3017 14,3017 131,43977385 131,36826535 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-05-31 9,1665 9,1615 14,229 14,229 130,4301285 130,3589835 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-01 9,1455 9,1405 14,4059 14,4059 131,74915845 131,67712895 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-02 9,1565 9,1515 14,3944 14,3944 131,8023236 131,7303516 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-03 9,1315 9,1265 14,3376 14,3376 130,9237944 130,8521064 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-07 9,1455 9,1405 14,4699 14,4699 132,33447045 132,26212095 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-08 9,1455 9,1405 14,4266 14,4266 131,9384703 131,8663373 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-09 9,1965 9,1915 14,3882 14,3882 132,3210813 132,2491403 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-10 9,1975 9,1925 14,4122 14,4122 132,5562095 132,4841485 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-13 9,2365 9,2315 14,4532 14,4532 133,4969818 133,4247158 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-14 9,2985 9,2935 14,451 14,451 134,3726235 134,3003685 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-15 9,2695 9,2645 14,3316 14,3316 132,8467662 132,7751082 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-16 9,2695 9,2645 14,3003 14,3003 132,55663085 132,48512935 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-17 9,2695 9,2645 14,3696 14,3696 133,1990072 133,1271592 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-20 9,2255 9,2205 14,3377 14,3377 132,27245135 132,20076285 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-21 9,2725 9,2675 14,4243 14,4243 133,74932175 133,67720025 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-22 9,2615 9,2565 14,4012 14,4012 133,3767138 133,3047078 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-27 9,3855 9,3805 14,2174 14,2174 133,4374077 133,3663207 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-28 9,3995 9,3945 14,2875 14,2875 134,29535625 134,22391875 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-29 9,4215 9,4165 14,4013 14,4013 135,68184795 135,60984145 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-06-30 9,4415 9,4365 14,4606 14,4606 136,5297549 136,4574519 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-01 9,4595 9,4545 14,531 14,531 137,4559945 137,3833395 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-04 9,4795 9,4745 14,5321 14,5321 137,75704195 137,68438145 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-05 9,4575 9,4525 14,4852 14,4852 136,993779 136,921353 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-06 9,4195 9,4145 14,5051 14,5051 136,63078945 136,55826395 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-07 9,3965 9,3915 14,3538 14,3538 134,8754817 134,8037127 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-08 9,4175 9,4125 14,5306 14,5306 136,8419255 136,7692725 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-11 9,4665 9,4615 14,6152 14,6152 138,3547908 138,2817148 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-12 9,4645 9,4595 14,5696 14,5696 137,8939792 137,8211312 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-13 9,3915 9,3865 14,6031 14,6031 137,14501365 137,07199815 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-15 9,4055 9,4005 14,6184 14,6184 137,4933612 137,4202692 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-18 9,3895 9,3845 14,605 14,605 137,1336475 137,0606225 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-19 9,4425 9,4375 14,7027 14,7027 138,83024475 138,75673125 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-20 9,4265 9,4215 14,7082 14,7082 138,6468473 138,5733063 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-21 9,4625 9,4575 14,7923 14,7923 139,97213875 139,89817725 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-22 9,4495 9,4445 14,7783 14,7783 139,64754585 139,57365435 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-25 9,4275 9,4225 14,7734 14,7734 139,2762285 139,2023615 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-26 9,4155 9,4105 14,8359 14,8359 139,68741645 139,61323695 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-27 9,4725 9,4675 14,8856 14,8856 141,003846 140,929418 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-28 9,4515 9,4465 14,9565 14,9565 141,36135975 141,28657725 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-07-29 9,3885 9,3835 14,9574 14,9574 140,4275499 140,3527629 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-01 9,3985 9,3935 14,9471 14,9471 140,48031935 140,40558385 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-02 9,3995 9,3945 15,0549 15,0549 141,50853255 141,43325805 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-03 9,3755 9,3705 15 15 140,6325 140,5575 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-04 9,3735 9,3685 14,9131 14,9131 139,78794285 139,71337735 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-05 9,3355 9,3305 14,812 14,812 138,277426 138,203366 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-08 9,3335 9,3285 14,8358 14,8358 138,4699393 138,3957603 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-09 9,3455 9,3405 14,981 14,981 140,0049355 139,9300305 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-10 9,3535 9,3485 15,1289 15,1289 141,50816615 141,43252165 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-11 9,3365 9,3315 15,0585 15,0585 140,59368525 140,51839275 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-12 9,3025 9,2975 15,0004 15,0004 139,541221 139,466219 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-16 9,2995 9,2945 14,9287 14,9287 138,82944565 138,75480215 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-17 9,3405 9,3355 14,9096 14,9096 139,2631188 139,1885708 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-18 9,3365 9,3315 14,8965 14,8965 139,08117225 139,00668975 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-19 9,3395 9,3345 15,0756 15,0756 140,7985662 140,7231882 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-22 9,3655 9,3605 15,0586 15,0586 141,0313183 140,9560253 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-23 9,3715 9,3665 14,943 14,943 140,0383245 139,9636095 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-24 9,3365 9,3315 14,9177 14,9177 139,27910605 139,20451755 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-25 9,3335 9,3285 14,8094 14,8094 138,2235349 138,1494879 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-26 9,3415 9,3365 14,668 14,668 137,021122 136,947782 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-29 9,3295 9,3245 14,7338 14,7338 137,4589871 137,3853181 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-30 9,3285 9,3235 14,6759 14,6759 136,90413315 136,83075365 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-08-31 9,3585 9,3535 14,7981 14,7981 138,48801885 138,41402835 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-01 9,3365 9,3315 14,867 14,867 138,8057455 138,7314105 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-02 9,3025 9,2975 14,8683 14,8683 138,31236075 138,23801925 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-05 9,2845 9,2795 15,0207 15,0207 139,45968915 139,38458565 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-06 9,3225 9,3175 15,1256 15,1256 141,008406 140,932778 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-07 9,3075 9,3025 15,1253 15,1253 140,77872975 140,70310325 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-08 9,3255 9,3205 15,0513 15,0513 140,36089815 140,28564165 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-09 9,3445 9,3395 15,0936 15,0936 141,0421452 140,9666772 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-12 9,3015 9,2965 15,0961 15,0961 140,41637415 140,34089365 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-13 9,3015 9,2965 14,9705 14,9705 139,24810575 139,17325325 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-14 9,3365 9,3315 15,0534 15,0534 140,5460691 140,4708021 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-15 9,3425 9,3375 15,0492 15,0492 140,597151 140,521905 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-16 9,3465 9,3415 15,1579 15,1579 141,67331235 141,59752285 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-19 9,3355 9,3305 15,0839 15,0839 140,81574845 140,74032895 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-20 9,3395 9,3345 15,116 15,116 141,175882 141,100302 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-21 9,3405 9,3355 14,9431 14,9431 139,57602555 139,50131005 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-22 9,3405 9,3355 14,8976 14,8976 139,1510328 139,0765448 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-23 9,3695 9,3645 15,003 15,003 140,5706085 140,4955935 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-26 9,3815 9,3765 15,1786 15,1786 142,3980359 142,3221429 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-27 9,3885 9,3835 15,0835 15,0835 141,61143975 141,53602225 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-28 9,3935 9,3885 15,1717 15,1717 142,51536395 142,43950545 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-29 9,3845 9,3795 15,0948 15,0948 141,6571506 141,5816766 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-09-30 9,3435 9,3385 15,1508 15,1508 141,5614998 141,4857458 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-03 9,3025 9,2975 15,2135 15,2135 141,52358375 141,44751625 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-04 9,3185 9,3135 15,2986 15,2986 142,5600041 142,4835111 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-05 9,3105 9,3055 15,2673 15,2673 142,14619665 142,06986015 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-06 9,3015 9,2965 15,1874 15,1874 141,2656011 141,1896641 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-07 9,3385 9,3335 15,12 15,12 141,19812 141,12252 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-10 9,3465 9,3415 15,1151 15,1151 141,27328215 141,19770665 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-11 9,3395 9,3345 15,0972 15,0972 141,0002994 140,9248134 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-12 9,3375 9,3325 14,9557 14,9557 139,64884875 139,57407025 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-13 9,3815 9,3765 14,833 14,833 139,1557895 139,0816245 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-14 9,4135 9,4085 14,9033 14,9033 140,29221455 140,21769805 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-17 9,4575 9,4525 14,8672 14,8672 140,606544 140,532208 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-18 9,4625 9,4575 14,7976 14,7976 140,02229 139,948302 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-19 9,4605 9,4555 14,607 14,607 138,1895235 138,1164885 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-20 9,4935 9,4885 14,6168 14,6168 138,7645908 138,6915068 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-21 9,4915 9,4865 14,602 14,602 138,594883 138,521873 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-24 9,5455 9,5405 14,7357 14,7357 140,65962435 140,58594585 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-25 9,5465 9,5415 14,6502 14,6502 139,8581343 139,7848833 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-26 9,4975 9,4925 14,621 14,621 138,8629475 138,7898425 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-27 9,5355 9,5305 14,3178 14,3178 136,5273819 136,4557929 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-28 9,5135 9,5085 14,3426 14,3426 136,4483251 136,3766121 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-10-31 9,5495 9,5445 14,536 14,536 138,811532 138,738852 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-02 9,5855 9,5805 14,5352 14,5352 139,3271596 139,2544836 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-03 9,6515 9,6465 14,6517 14,6517 141,41088255 141,33762405 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-04 9,5875 9,5825 14,6237 14,6237 140,20472375 140,13160525 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-07 9,6075 9,6025 14,6929 14,6929 141,16203675 141,08857225 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-08 9,5685 9,5635 14,7169 14,7169 140,81865765 140,74507315 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-09 9,5575 9,5525 14,6318 14,6318 139,8434285 139,7702695 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-10 9,6105 9,6055 14,6401 14,6401 140,69868105 140,62548055 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-14 9,5505 9,5455 14,7746 14,7746 141,1048173 141,0309443 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-15 9,5805 9,5755 14,6567 14,6567 140,41851435 140,34523085 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-16 9,6235 9,6185 14,5782 14,5782 140,2933077 140,2204167 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-17 9,6355 9,6305 14,5769 14,5769 140,45571995 140,38283545 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-18 9,6085 9,6035 14,6385 14,6385 140,65402725 140,58083475 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-21 9,5915 9,5865 14,6804 14,6804 140,8070566 140,7336546 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-22 9,5585 9,5535 14,6737 14,6737 140,25856145 140,18519295 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-23 9,5155 9,5105 14,8296 14,8296 141,1110588 141,0369108 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-24 9,5125 9,5075 14,8583 14,8583 141,33957875 141,26528725 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-25 9,4965 9,4915 14,8836 14,8836 141,3421074 141,2676894 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-28 9,4835 9,4785 14,7201 14,7201 139,59806835 139,52446785 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-29 9,4785 9,4735 14,7807 14,7807 140,09886495 140,02496145 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-11-30 9,5295 9,5245 14,7353 14,7353 140,42004135 140,34636485 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-01 9,5165 9,5115 14,9036 14,9036 141,8301094 141,7555914 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-02 9,4905 9,4855 14,9479 14,9479 141,86304495 141,78830545 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-05 9,4065 9,4015 14,8728 14,8728 139,9009932 139,8266292 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-06 9,4185 9,4135 14,9727 14,9727 141,02037495 140,94551145 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-07 9,4255 9,4205 14,9925 14,9925 141,31180875 141,23684625 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-08 9,3965 9,3915 15,0212 15,0212 141,1467058 141,0715998 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-12 9,4315 9,4265 15,0434 15,0434 141,8818271 141,8066101 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-13 9,4295 9,4245 15,0536 15,0536 141,9479212 141,8726532 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-14 9,4365 9,4315 14,9954 14,9954 141,5040921 141,4291151 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-15 9,4345 9,4295 14,9794 14,9794 141,3231493 141,2482523 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-16 9,4765 9,4715 15,0755 15,0755 142,86297575 142,78759825 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-19 9,4535 9,4485 15,0392 15,0392 142,1730772 142,0978812 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-20 9,4015 9,3965 15,0649 15,0649 141,63265735 141,55733285 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-21 9,4485 9,4435 15,1658 15,1658 143,2940613 143,2182323 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-22 9,4365 9,4315 15,151 15,151 142,9724115 142,8966565 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-23 9,4425 9,4375 15,1812 15,1812 143,348481 143,272575 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-27 9,4915 9,4865 15,2346 15,2346 144,5992059 144,5230329 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-28 9,4345 9,4295 15,2191 15,2191 143,58459895 143,50850345 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-29 9,4115 9,4065 15,2848 15,2848 143,8528952 143,7764712 547554 SG Asset Management S.A. SGAM Fund Equities Euroland Non Cyclicals EUR 2005-12-30 9,4325 9,4275 15,1742 15,1742 143,1306415 143,0547705 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-03 9,0065 9,0015 28,5094 28,5094 256,7699111 256,6273641 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-04 9,0345 9,0295 28,599 28,599 258,3776655 258,2346705 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-05 9,0615 9,0565 28,4166 28,4166 257,4970209 257,3549379 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-07 9,0615 9,0565 28,7576 28,7576 260,5869924 260,4432044 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-10 9,08619 9,08119 28,7412 28,7412 261,148004028 261,004298028 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-11 9,08619 9,08119 28,532 28,532 259,24717308 259,10451308 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-12 9,0455 9,0405 28,2574 28,2574 255,6023117 255,4610247 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-13 9,0505 9,0455 28,3785 28,3785 256,83961425 256,69772175 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-14 9,0455 9,0405 28,488 28,488 257,688204 257,545764 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-17 9,0685 9,0635 28,6019 28,6019 259,37633015 259,23332065 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-18 9,0585 9,0535 28,5998 28,5998 259,0712883 258,9282893 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-19 9,0225 9,0175 28,6086 28,6086 258,1210935 257,9780505 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-20 9,0315 9,0265 28,4533 28,4533 256,97597895 256,83371245 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-21 9,0505 9,0455 28,4337 28,4337 257,33920185 257,19703335 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-24 9,0655 9,0605 28,4566 28,4566 257,9733073 257,8310243 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-25 9,0715 9,0665 28,661 28,661 259,9982615 259,8549565 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-26 9,0885 9,0835 28,659 28,659 260,4673215 260,3240265 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-27 9,0675 9,0625 28,7961 28,7961 261,10863675 260,96465625 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-28 9,0955 9,0905 28,6597 28,6597 260,67430135 260,53100285 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-01-31 9,1075 9,1025 28,7994 28,7994 262,2905355 262,1465385 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-01 9,1035 9,0985 29,0185 29,0185 264,16991475 264,02482225 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-02 9,0905 9,0855 29,0778 29,0778 264,3317409 264,1863519 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-03 9,0695 9,0645 29,0851 29,0851 263,78731445 263,64188895 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-04 9,0895 9,0845 29,3157 29,3157 266,46505515 266,31847665 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-07 9,0755 9,0705 29,464 29,464 267,400532 267,253212 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-08 9,0895 9,0845 29,4965 29,4965 268,10843675 267,96095425 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-09 9,0695 9,0645 29,5216 29,5216 267,7461512 267,5985432 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-10 9,0805 9,0755 29,4925 29,4925 267,80664625 267,65918375 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-11 9,0935 9,0885 29,7814 29,7814 270,8171609 270,6682539 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-14 9,1105 9,1055 29,802 29,802 271,511121 271,362111 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-15 9,0765 9,0715 29,9211 29,9211 271,57886415 271,42925865 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-16 9,0705 9,0655 29,7528 29,7528 269,8727724 269,7240084 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-17 9,0925 9,0875 29,7797 29,7797 270,77192225 270,62302375 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-18 9,0945 9,0895 29,8 29,8 271,0161 270,8671 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-21 9,1185 9,1135 29,7478 29,7478 271,2553143 271,1065753 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-22 9,0975 9,0925 29,5192 29,5192 268,550922 268,403326 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-23 9,1045 9,0995 29,3951 29,3951 267,62768795 267,48071245 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-24 9,0715 9,0665 29,3495 29,3495 266,24398925 266,09724175 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-25 9,0845 9,0795 29,6362 29,6362 269,2300589 269,0818779 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-02-28 9,0505 9,0455 29,5964 29,5964 267,8622182 267,7142362 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-01 9,0565 9,0515 29,8297 29,8297 270,15267805 270,00352955 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-02 9,0645 9,0595 29,8656 29,8656 270,7167312 270,5674032 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-03 9,0675 9,0625 29,8783 29,8783 270,92148525 270,77209375 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-04 9,0415 9,0365 30,1161 30,1161 272,29471815 272,14413765 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-07 9,0425 9,0375 30,104 30,104 272,21542 272,0649 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-08 9,0345 9,0295 29,941 29,941 270,5019645 270,3522595 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-09 9,0365 9,0315 29,7822 29,7822 269,1268503 268,9779393 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-10 9,0655 9,0605 29,5243 29,5243 267,65254165 267,50492015 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-11 9,0795 9,0745 29,5948 29,5948 268,7059866 268,5580126 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-14 9,0695 9,0645 29,5826 29,5826 268,2993907 268,1514777 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-15 9,1035 9,0985 29,8404 29,8404 271,6520814 271,5028794 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-16 9,0975 9,0925 29,42 29,42 267,64845 267,50135 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-17 9,1045 9,0995 29,4624 29,4624 268,2404208 268,0931088 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-18 9,1035 9,0985 29,5006 29,5006 268,5587121 268,4112091 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-21 9,1265 9,1215 29,4554 29,4554 268,8247081 268,6774311 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-22 9,1265 9,1215 29,494 29,494 269,176991 269,029521 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-23 9,1165 9,1115 29,4078 29,4078 268,0962087 267,9491697 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-24 9,1135 9,1085 29,617 29,617 269,9145295 269,7664445 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-29 9,1315 9,1265 29,6715 29,6715 270,94530225 270,79694475 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-30 9,1425 9,1375 29,6021 29,6021 270,63719925 270,48918875 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-03-31 9,1405 9,1355 29,6021 29,6021 270,57799505 270,42998455 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-01 9,1645 9,1595 29,7814 29,7814 272,9316403 272,7827333 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-04 9,1695 9,1645 29,6182 29,6182 271,5840849 271,4359939 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-05 9,1745 9,1695 29,8387 29,8387 273,75515315 273,60595965 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-06 9,1705 9,1655 29,9398 29,9398 274,5629359 274,4132369 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-07 9,1505 9,1455 30,0775 30,0775 275,22416375 275,07377625 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-08 9,1625 9,1575 30,1238 30,1238 276,0093175 275,8586985 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-11 9,1705 9,1655 30,0998 30,0998 276,0302159 275,8797169 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-12 9,1525 9,1475 29,9672 29,9672 274,274798 274,124962 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-13 9,1495 9,1445 30,097 30,097 275,3725015 275,2220165 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-14 9,1685 9,1635 30,0957 30,0957 275,93242545 275,78194695 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-15 9,1925 9,1875 29,6008 29,6008 272,105354 271,95735 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-18 9,1805 9,1755 29,0972 29,0972 267,1268446 266,9813586 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-19 9,2035 9,1985 29,3183 29,3183 269,83097405 269,68438255 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-20 9,1915 9,1865 29,1522 29,1522 267,9524463 267,8066853 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-21 9,1855 9,1805 29,1762 29,1762 267,9979851 267,8521041 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-22 9,1625 9,1575 29,3791 29,3791 269,18600375 269,03910825 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-25 9,1685 9,1635 29,4886 29,4886 270,3662291 270,2187861 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-26 9,1375 9,1325 29,4021 29,4021 268,66168875 268,51467825 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-27 9,1465 9,1415 29,0244 29,0244 265,4716746 265,3265526 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-28 9,1505 9,1455 29,0354 29,0354 265,6884277 265,5432507 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-04-29 9,1705 9,1655 29,1234 29,1234 267,0761397 266,9305227 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-02 9,1935 9,1885 29,2456 29,2456 268,8694236 268,7231956 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-03 9,2245 9,2195 29,3594 29,3594 270,8257853 270,6789883 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-04 9,1915 9,1865 29,6598 29,6598 272,6180517 272,4697527 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-06 9,1715 9,1665 29,8167 29,8167 273,46386405 273,31478055 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-09 9,1815 9,1765 29,7156 29,7156 272,8337814 272,6852034 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-10 9,1985 9,1935 29,497 29,497 271,3281545 271,1806695 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-11 9,2105 9,2055 29,4696 29,4696 271,4297508 271,2824028 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-12 9,2315 9,2265 29,69 29,69 274,083235 273,934785 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-13 9,2045 9,1995 29,5694 29,5694 272,1715423 272,0236953 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-17 9,2325 9,2275 29,5717 29,5717 273,02072025 272,87286175 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-18 9,2095 9,2045 29,9436 29,9436 275,7655842 275,6158662 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-19 9,1905 9,1855 30,0174 30,0174 275,8749147 275,7248277 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-20 9,1955 9,1905 30,046 30,046 276,287993 276,137763 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-23 9,1805 9,1755 30,1759 30,1759 277,02984995 276,87897045 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-24 9,1815 9,1765 30,1571 30,1571 276,88741365 276,73662815 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-25 9,1785 9,1735 30,159 30,159 276,8143815 276,6635865 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-26 9,1945 9,1895 30,3279 30,3279 278,84987655 278,69823705 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-27 9,1955 9,1905 30,308 30,308 278,697214 278,545674 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-30 9,1905 9,1855 30,4795 30,4795 280,12184475 279,96944725 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-05-31 9,1665 9,1615 30,4856 30,4856 279,4462524 279,2938244 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-01 9,1455 9,1405 30,8985 30,8985 282,58223175 282,42773925 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-02 9,1565 9,1515 30,8946 30,8946 282,8864049 282,7319319 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-03 9,1315 9,1265 30,7465 30,7465 280,76166475 280,60793225 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-07 9,1455 9,1405 31,0841 31,0841 284,27963655 284,12421605 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-08 9,1455 9,1405 31,0399 31,0399 283,87540545 283,72020595 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-09 9,1965 9,1915 31,0928 31,0928 285,9449352 285,7894712 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-10 9,1975 9,1925 31,2254 31,2254 287,1956165 287,0394895 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-13 9,2365 9,2315 31,3236 31,3236 289,3204314 289,1638134 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-14 9,2985 9,2935 31,353 31,353 291,5358705 291,3791055 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-15 9,2695 9,2645 31,223 31,223 289,4215985 289,2654835 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-16 9,2695 9,2645 31,317 31,317 290,2929315 290,1363465 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-17 9,2695 9,2645 31,4013 31,4013 291,07435035 290,91734385 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-20 9,2255 9,2205 31,3446 31,3446 289,1696073 289,0128843 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-21 9,2725 9,2675 31,5689 31,5689 292,72262525 292,56478075 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-22 9,2615 9,2565 31,7251 31,7251 293,82201365 293,66338815 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-27 9,3855 9,3805 31,1269 31,1269 292,14151995 291,98588545 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-28 9,3995 9,3945 31,3854 31,3854 295,0070673 294,8501403 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-29 9,4215 9,4165 31,4868 31,4868 296,6528862 296,4954522 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-06-30 9,4415 9,4365 31,3906 31,3906 296,3743499 296,2173969 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-01 9,4595 9,4545 31,6264 31,6264 299,1699308 299,0117988 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-04 9,4795 9,4745 31,7069 31,7069 300,56555855 300,40702405 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-05 9,4575 9,4525 31,6523 31,6523 299,35162725 299,19336575 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-06 9,4195 9,4145 31,8233 31,8233 299,75957435 299,60045785 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-07 9,3965 9,3915 31,3022 31,3022 294,1311223 293,9746113 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-08 9,4175 9,4125 31,7472 31,7472 298,979256 298,82052 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-11 9,4665 9,4615 31,9305 31,9305 302,27007825 302,11042575 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-12 9,4645 9,4595 31,7643 31,7643 300,63321735 300,47439585 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-13 9,3915 9,3865 31,9739 31,9739 300,28288185 300,12301235 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-15 9,4055 9,4005 32,0843 32,0843 301,76888365 301,60846215 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-18 9,3895 9,3845 31,9951 31,9951 300,41799145 300,25801595 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-19 9,4425 9,4375 32,143 32,143 303,5102775 303,3495625 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-20 9,4265 9,4215 32,0765 32,0765 302,36912725 302,20874475 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-21 9,4625 9,4575 32,1256 32,1256 303,98849 303,827862 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-22 9,4495 9,4445 32,1742 32,1742 304,0301029 303,8692319 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-25 9,4275 9,4225 32,3045 32,3045 304,55067375 304,38915125 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-26 9,4155 9,4105 32,3167 32,3167 304,27788885 304,11630535 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-27 9,4725 9,4675 32,3829 32,3829 306,74702025 306,58510575 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-28 9,4515 9,4465 32,5522 32,5522 307,6671183 307,5043573 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-07-29 9,3885 9,3835 32,461 32,461 304,7600985 304,5977935 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-01 9,3985 9,3935 32,5066 32,5066 305,5132801 305,3507471 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-02 9,3995 9,3945 32,7521 32,7521 307,85336395 307,68960345 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-03 9,3755 9,3705 32,7306 32,7306 306,8657403 306,7020873 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-04 9,3735 9,3685 32,4637 32,4637 304,29849195 304,13617345 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-05 9,3355 9,3305 32,3181 32,3181 301,70562255 301,54403205 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-08 9,3335 9,3285 32,5427 32,5427 303,73729045 303,57457695 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-09 9,3455 9,3405 32,754 32,754 306,102507 305,938737 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-10 9,3535 9,3485 33,1084 33,1084 309,6794194 309,5138774 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-11 9,3365 9,3315 32,9961 32,9961 308,06808765 307,90310715 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-12 9,3025 9,2975 32,8873 32,8873 305,93410825 305,76967175 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-16 9,2995 9,2945 32,7836 32,7836 304,8710882 304,7071702 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-17 9,3405 9,3355 32,7367 32,7367 305,77714635 305,61346285 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-18 9,3365 9,3315 32,6473 32,6473 304,81151645 304,64827995 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-19 9,3395 9,3345 33,016 33,016 308,352932 308,187852 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-22 9,3655 9,3605 32,9927 32,9927 308,99313185 308,82816835 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-23 9,3715 9,3665 32,7664 32,7664 307,0703176 306,9064856 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-24 9,3365 9,3315 32,6788 32,6788 305,1056162 304,9422222 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-25 9,3335 9,3285 32,4214 32,4214 302,6051369 302,4430299 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-26 9,3415 9,3365 32,1406 32,1406 300,2414149 300,0807119 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-29 9,3295 9,3245 32,2419 32,2419 300,80080605 300,63959655 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-30 9,3285 9,3235 32,2287 32,2287 300,64542795 300,48428445 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-08-31 9,3585 9,3535 32,5152 32,5152 304,2934992 304,1309232 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-01 9,3365 9,3315 32,7042 32,7042 305,3427633 305,1792423 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-02 9,3025 9,2975 32,6516 32,6516 303,741509 303,578251 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-05 9,2845 9,2795 32,876 32,876 305,237222 305,072842 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-06 9,3225 9,3175 33,1506 33,1506 309,0464685 308,8807155 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-07 9,3075 9,3025 33,2921 33,2921 309,86622075 309,69976025 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-08 9,3255 9,3205 33,2904 33,2904 310,4496252 310,2831732 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-09 9,3445 9,3395 33,4111 33,4111 312,21002395 312,04296845 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-12 9,3015 9,2965 33,444 33,444 311,079366 310,912146 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-13 9,3015 9,2965 33,1681 33,1681 308,51308215 308,34724165 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-14 9,3365 9,3315 33,2668 33,2668 310,5954782 310,4291442 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-15 9,3425 9,3375 33,2932 33,2932 311,041721 310,875255 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-16 9,3465 9,3415 33,4866 33,4866 312,9825069 312,8150739 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-19 9,3355 9,3305 33,5494 33,5494 313,2004237 313,0326767 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-20 9,3395 9,3345 33,648 33,648 314,255496 314,087256 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-21 9,3405 9,3355 33,2704 33,2704 310,7621712 310,5958192 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-22 9,3405 9,3355 33,1048 33,1048 309,2153844 309,0498604 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-23 9,3695 9,3645 33,2538 33,2538 311,5714791 311,4052101 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-26 9,3815 9,3765 33,6628 33,6628 315,8075582 315,6392442 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-27 9,3885 9,3835 33,5603 33,5603 315,08087655 314,91307505 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-28 9,3935 9,3885 33,883 33,883 318,2799605 318,1105455 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-29 9,3845 9,3795 33,7701 33,7701 316,91550345 316,74665295 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-09-30 9,3435 9,3385 33,854 33,854 316,314849 316,145579 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-03 9,3025 9,2975 34,1596 34,1596 317,769679 317,598881 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-04 9,3185 9,3135 34,2343 34,2343 319,01232455 318,84115305 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-05 9,3105 9,3055 33,8714 33,8714 315,3596697 315,1903127 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-06 9,3015 9,2965 33,4262 33,4262 310,9137993 310,7466683 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-07 9,3385 9,3335 33,2911 33,2911 310,88893735 310,72248185 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-10 9,3465 9,3415 33,3851 33,3851 312,03383715 311,86691165 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-11 9,3395 9,3345 33,4936 33,4936 312,8134772 312,6460092 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-12 9,3375 9,3325 33,2688 33,2688 310,64742 310,481076 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-13 9,3815 9,3765 32,9192 32,9192 308,8314748 308,6668788 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-14 9,4135 9,4085 32,9559 32,9559 310,23036465 310,06558515 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-17 9,4575 9,4525 32,8873 32,8873 311,03163975 310,86720325 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-18 9,4625 9,4575 32,7881 32,7881 310,25739625 310,09345575 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-19 9,4605 9,4555 32,2309 32,2309 304,92042945 304,75927495 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-20 9,4935 9,4885 32,3983 32,3983 307,57326105 307,41126955 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-21 9,4915 9,4865 32,2485 32,2485 306,08663775 305,92539525 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-24 9,5455 9,5405 32,6629 32,6629 311,78371195 311,62039745 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-25 9,5465 9,5415 32,548 32,548 310,719482 310,556742 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-26 9,4975 9,4925 32,6571 32,6571 310,16080725 309,99752175 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-27 9,5355 9,5305 32,224 32,224 307,271952 307,110832 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-28 9,5135 9,5085 32,2653 32,2653 306,95593155 306,79460505 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-10-31 9,5495 9,5445 33,1826 33,1826 316,8772387 316,7113257 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-02 9,5855 9,5805 33,304 33,304 319,235492 319,068972 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-03 9,6515 9,6465 33,7747 33,7747 325,97651705 325,80764355 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-04 9,5875 9,5825 33,6948 33,6948 323,048895 322,880421 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-07 9,6075 9,6025 33,8143 33,8143 324,87088725 324,70181575 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-08 9,5685 9,5635 33,8187 33,8187 323,59423095 323,42513745 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-09 9,5575 9,5525 33,7994 33,7994 323,0377655 322,8687685 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-10 9,6105 9,6055 33,7999 33,7999 324,83393895 324,66493945 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-14 9,5505 9,5455 34,1698 34,1698 326,3386749 326,1678259 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-15 9,5805 9,5755 34,0432 34,0432 326,1508776 325,9806616 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-16 9,6235 9,6185 33,8023 33,8023 325,29643405 325,12742255 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-17 9,6355 9,6305 33,9873 33,9873 327,48462915 327,31469265 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-18 9,6085 9,6035 34,2216 34,2216 328,8182436 328,6471356 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-21 9,5915 9,5865 34,279 34,279 328,7870285 328,6156335 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-22 9,5585 9,5535 34,2895 34,2895 327,75618575 327,58473825 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-23 9,5155 9,5105 34,4472 34,4472 327,7823316 327,6100956 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-24 9,5125 9,5075 34,3604 34,3604 326,853305 326,681503 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-25 9,4965 9,4915 34,4493 34,4493 327,14777745 326,97553095 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-28 9,4835 9,4785 34,192 34,192 324,259832 324,088872 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-29 9,4785 9,4735 34,2754 34,2754 324,8793789 324,7080019 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-11-30 9,5295 9,5245 34,1323 34,1323 325,26375285 325,09309135 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-01 9,5165 9,5115 34,7007 34,7007 330,22921155 330,05570805 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-02 9,4905 9,4855 34,9301 34,9301 331,50411405 331,32946355 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-05 9,4065 9,4015 34,8179 34,8179 327,51457635 327,34048685 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-06 9,4185 9,4135 35,0142 35,0142 329,7812427 329,6061717 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-07 9,4255 9,4205 34,9232 34,9232 329,1686216 328,9940056 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-08 9,3965 9,3915 34,913 34,913 328,0600045 327,8854395 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-12 9,4315 9,4265 34,8636 34,8636 328,8160434 328,6417254 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-13 9,4295 9,4245 34,9363 34,9363 329,43184085 329,25715935 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-14 9,4365 9,4315 34,849 34,849 328,8525885 328,6783435 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-15 9,4345 9,4295 34,7615 34,7615 327,95737175 327,78356425 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-16 9,4765 9,4715 35,0075 35,0075 331,74857375 331,57353625 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-19 9,4535 9,4485 34,9809 34,9809 330,69193815 330,51703365 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-20 9,4015 9,3965 35,0859 35,0859 329,86008885 329,68465935 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-21 9,4485 9,4435 35,3209 35,3209 333,72952365 333,55291915 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-22 9,4365 9,4315 35,2079 35,2079 332,23934835 332,06330885 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-23 9,4425 9,4375 35,2315 35,2315 332,67343875 332,49728125 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-27 9,4915 9,4865 35,3461 35,3461 335,48750815 335,31077765 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-28 9,4345 9,4295 35,2755 35,2755 332,80670475 332,63032725 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-29 9,4115 9,4065 35,4546 35,4546 333,6809679 333,5036949 977512 SG Asset Management S.A. SGAM Fund Equities Europe EUR 2005-12-30 9,4325 9,4275 35,2419 35,2419 332,41922175 332,24301225 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-03 9,0065 9,0015 12,4521 12,4521 112,14983865 112,08757815 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-04 9,0345 9,0295 12,483 12,483 112,7776635 112,7152485 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-05 9,0615 9,0565 12,3799 12,3799 112,18046385 112,11856435 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-07 9,0615 9,0565 12,524 12,524 113,486226 113,423606 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-10 9,08619 9,08119 12,532 12,532 113,86813308 113,80547308 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-11 9,08619 9,08119 12,4226 12,4226 112,874103894 112,811990894 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-12 9,0455 9,0405 12,3177 12,3177 111,41975535 111,35816685 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-13 9,0505 9,0455 12,3687 12,3687 111,94291935 111,88107585 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-14 9,0455 9,0405 12,4179 12,4179 112,32611445 112,26402495 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-17 9,0685 9,0635 12,5057 12,5057 113,40794045 113,34541195 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-18 9,0585 9,0535 12,4763 12,4763 113,01656355 112,95418205 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-19 9,0225 9,0175 12,4721 12,4721 112,52952225 112,46716175 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-20 9,0315 9,0265 12,3863 12,3863 111,86686845 111,80493695 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-21 9,0505 9,0455 12,4168 12,4168 112,3782484 112,3161644 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-24 9,0655 9,0605 12,3945 12,3945 112,36233975 112,30036725 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-25 9,0715 9,0665 12,5029 12,5029 113,42005735 113,35754285 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-26 9,0885 9,0835 12,5177 12,5177 113,76711645 113,70452795 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-27 9,0675 9,0625 12,5562 12,5562 113,8533435 113,7905625 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-28 9,0955 9,0905 12,4858 12,4858 113,5645939 113,5021649 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-01-31 9,1075 9,1025 12,6445 12,6445 115,15978375 115,09656125 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-01 9,1035 9,0985 12,7338 12,7338 115,9221483 115,8584793 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-02 9,0905 9,0855 12,7936 12,7936 116,3002208 116,2362528 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-03 9,0695 9,0645 12,6445 12,6445 114,67929275 114,61607025 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-04 9,0895 9,0845 12,7145 12,7145 115,56844775 115,50487525 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-07 9,0755 9,0705 12,8018 12,8018 116,1827359 116,1187269 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-08 9,0895 9,0845 12,8104 12,8104 116,4401308 116,3760788 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-09 9,0695 9,0645 12,761 12,761 115,7358895 115,6720845 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-10 9,0805 9,0755 12,7433 12,7433 115,71553565 115,65181915 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-11 9,0935 9,0885 12,888 12,888 117,197028 117,132588 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-14 9,1105 9,1055 12,8765 12,8765 117,31135325 117,24697075 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-15 9,0765 9,0715 12,9359 12,9359 117,41269635 117,34801685 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-16 9,0705 9,0655 12,8388 12,8388 116,4543354 116,3901414 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-17 9,0925 9,0875 12,7977 12,7977 116,36308725 116,29909875 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-18 9,0945 9,0895 12,8449 12,8449 116,81794305 116,75371855 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-21 9,1185 9,1135 12,813 12,813 116,8353405 116,7712755 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-22 9,0975 9,0925 12,7914 12,7914 116,3697615 116,3058045 941682 SG Asset Management S.A. SGAM Fund Equities France EUR 2005-02-23 9,1045 9,0995 12,6992 12,6992 115,6198664 115,5563704 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-03 6,668 6,658 27,9381 27,9381 186,2912508 186,0118698 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-04 6,728 6,718 27,6476 27,6476 186,0130528 185,7365768 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-05 6,828 6,818 27,5341 27,5341 188,0028348 187,7274938 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-07 6,87 6,86 27,4011 27,4011 188,245557 187,971546 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-10 6,96091 6,95091 27,5331 27,5331 191,655431121 191,380100121 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-11 6,96091 6,95091 27,5454 27,5454 191,741050314 191,465596314 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-12 6,913 6,903 27,6714 27,6714 191,2923882 191,0156742 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-13 6,843 6,833 27,5913 27,5913 188,8072659 188,5313529 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-14 6,915 6,905 27,6507 27,6507 191,2045905 190,9280835 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-17 6,915 6,905 27,6724 27,6724 191,354646 191,077922 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-18 6,968 6,958 27,8261 27,8261 193,8922648 193,6140038 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-19 6,91 6,9 27,6764 27,6764 191,243924 190,96716 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-20 6,96 6,95 27,4123 27,4123 190,789608 190,515485 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-21 6,978 6,968 27,3854 27,3854 191,0953212 190,8214672 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-24 6,933 6,923 27,3791 27,3791 189,8193003 189,5455093 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-25 6,95 6,94 27,4524 27,4524 190,79418 190,519656 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-26 6,995 6,985 27,6928 27,6928 193,711136 193,434208 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-27 6,93 6,92 27,732 27,732 192,18276 191,90544 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-28 6,985 6,975 27,6045 27,6045 192,8174325 192,5413875 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-01-31 6,998 6,988 27,8544 27,8544 194,9250912 194,6465472 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-01 6,993 6,983 28,0712 28,0712 196,3019016 196,0211896 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-02 6,953 6,943 28,1461 28,1461 195,6998333 195,4183723 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-03 6,968 6,958 28,0062 28,0062 195,1472016 194,8671396 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-04 7,01 7 28,238 28,238 197,94838 197,666 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-07 7,065 7,055 28,1437 28,1437 198,8352405 198,5538035 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-08 7,123 7,113 28,104 28,104 200,184792 199,903752 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-09 7,1 7,09 27,9782 27,9782 198,64522 198,365438 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-10 7,088 7,078 28,1903 28,1903 199,8128464 199,5309434 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-11 7,068 7,058 28,3487 28,3487 200,3686116 200,0851246 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-14 7,03 7,02 28,502 28,502 200,36906 200,08404 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-15 7,005 6,995 28,5936 28,5936 200,298168 200,012232 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-16 6,973 6,963 28,5868 28,5868 199,3357564 199,0498884 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-17 6,97 6,96 28,5159 28,5159 198,755823 198,470664 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-18 6,965 6,955 28,5521 28,5521 198,8653765 198,5798555 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-21 6,978 6,968 28,5375 28,5375 199,134675 198,8493 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-22 6,905 6,895 28,3188 28,3188 195,541314 195,258126 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-23 6,895 6,885 28,2954 28,2954 195,096783 194,813829 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-24 6,858 6,848 28,4479 28,4479 195,0956982 194,8112192 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-25 6,885 6,875 28,7606 28,7606 198,016731 197,729125 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-02-28 6,828 6,818 28,8385 28,8385 196,909278 196,620893 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-01 6,87 6,86 28,8928 28,8928 198,493536 198,204608 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-02 6,888 6,878 28,8649 28,8649 198,8214312 198,5327822 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-03 6,903 6,893 28,8998 28,8998 199,4953194 199,2063214 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-04 6,9 6,89 29,2925 29,2925 202,11825 201,825325 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-07 6,84 6,83 29,2441 29,2441 200,029644 199,737203 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-08 6,825 6,815 29,2768 29,2768 199,81416 199,521392 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-09 6,76 6,75 29,1151 29,1151 196,818076 196,526925 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-10 6,745 6,735 29,04 29,04 195,8748 195,5844 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-11 6,765 6,755 29,0134 29,0134 196,275651 195,985517 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-14 6,76 6,75 29,0004 29,0004 196,042704 195,7527 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-15 6,815 6,805 28,9335 28,9335 197,1818025 196,8924675 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-16 6,81 6,8 28,8024 28,8024 196,144344 195,85632 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-17 6,795 6,785 28,8017 28,8017 195,7075515 195,4195345 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-18 6,828 6,818 28,7907 28,7907 196,5828996 196,2949926 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-21 6,908 6,898 28,692 28,692 198,204336 197,917416 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-22 6,928 6,918 28,5706 28,5706 197,9371168 197,6514108 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-23 6,973 6,963 28,2883 28,2883 197,2543159 196,9714329 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-24 7,008 6,998 28,2779 28,2779 198,1715232 197,8887442 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-29 7,055 7,045 28,1105 28,1105 198,3195775 198,0384725 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-30 7,053 7,043 28,3045 28,3045 199,6316385 199,3485935 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-03-31 7,065 7,055 28,3045 28,3045 199,9712925 199,6882475 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-01 7,07 7,06 28,5038 28,5038 201,521866 201,236828 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-04 7,113 7,103 28,4267 28,4267 202,1991171 201,9148501 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-05 7,163 7,153 28,5979 28,5979 204,8467577 204,5607787 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-06 7,125 7,115 28,6706 28,6706 204,278025 203,991319 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-07 7,083 7,073 28,7994 28,7994 203,9861502 203,6981562 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-08 7,153 7,143 28,6597 28,6597 205,0028341 204,7162371 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-11 7,098 7,088 28,6918 28,6918 203,6543964 203,3674784 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-12 7,048 7,038 28,6618 28,6618 202,0083664 201,7217484 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-13 7,075 7,065 28,5191 28,5191 201,7726325 201,4874415 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-14 7,12 7,11 28,2551 28,2551 201,176312 200,893761 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-15 7,17 7,16 27,8471 27,8471 199,663707 199,385236 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-18 7,08 7,07 27,7011 27,7011 196,123788 195,846777 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-19 7,068 7,058 27,9352 27,9352 197,4459936 197,1666416 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-20 7,043 7,033 27,6488 27,6488 194,7304984 194,4540104 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-21 7,025 7,015 27,8375 27,8375 195,5584375 195,2800625 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-22 7,023 7,013 27,8269 27,8269 195,4283187 195,1500497 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-25 7,04 7,03 28,0226 28,0226 197,279104 196,998878 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-26 7,035 7,025 27,7489 27,7489 195,2135115 194,9360225 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-27 7,085 7,075 27,69 27,69 196,18365 195,90675 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-28 7,085 7,075 27,4193 27,4193 194,2657405 193,9915475 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-04-29 7,08 7,07 27,6595 27,6595 195,82926 195,552665 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-02 7,15 7,14 27,6973 27,6973 198,035695 197,758722 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-03 7,178 7,168 27,7484 27,7484 199,1780152 198,9005312 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-04 7,11 7,1 28,0071 28,0071 199,130481 198,85041 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-06 7,085 7,075 28,005 28,005 198,415425 198,135375 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-09 7,168 7,158 28,059 28,059 201,126912 200,846322 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-10 7,178 7,168 27,8437 27,8437 199,8620786 199,5836416 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-11 7,15 7,14 27,8499 27,8499 199,126785 198,848286 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-12 7,243 7,233 27,5208 27,5208 199,3331544 199,0579464 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-13 7,265 7,255 27,3749 27,3749 198,8786485 198,6048995 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-17 7,313 7,303 27,5117 27,5117 201,1930621 200,9179451 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-18 7,3 7,29 27,7876 27,7876 202,84948 202,571604 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-19 7,26 7,25 27,9692 27,9692 203,056392 202,7767 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-20 7,28 7,27 27,8736 27,8736 202,919808 202,641072 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-23 7,32 7,31 28,1029 28,1029 205,713228 205,432199 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-24 7,295 7,285 28,1511 28,1511 205,3622745 205,0807635 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-25 7,298 7,288 28,0732 28,0732 204,8782136 204,5974816 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-26 7,33 7,32 28,1632 28,1632 206,436256 206,154624 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-27 7,338 7,328 28,3145 28,3145 207,771801 207,488656 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-30 7,338 7,328 28,3379 28,3379 207,9435102 207,6601312 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-05-31 7,403 7,393 28,1598 28,1598 208,4669994 208,1854014 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-01 7,428 7,418 28,3753 28,3753 210,7717284 210,4879754 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-02 7,473 7,463 28,4224 28,4224 212,4005952 212,1163712 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-03 7,438 7,428 28,3896 28,3896 211,1618448 210,8779488 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-07 7,448 7,438 28,5698 28,5698 212,7878704 212,5021724 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-08 7,435 7,425 28,5853 28,5853 212,5317055 212,2458525 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-09 7,523 7,513 28,6369 28,6369 215,4353987 215,1490297 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-10 7,525 7,515 28,6199 28,6199 215,3647475 215,0785485 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-13 7,643 7,633 28,6502 28,6502 218,9734786 218,6869766 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-14 7,663 7,653 28,7041 28,7041 219,9595183 219,6724773 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-15 7,693 7,683 28,8114 28,8114 221,6461002 221,3579862 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-16 7,678 7,668 28,9403 28,9403 222,2036234 221,9142204 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-17 7,643 7,633 29,2233 29,2233 223,3536819 223,0614489 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-20 7,543 7,533 29,1325 29,1325 219,7464475 219,4551225 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-21 7,648 7,638 29,0716 29,0716 222,3395968 222,0488808 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-22 7,608 7,598 28,9221 28,9221 220,0393368 219,7501158 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-27 7,73 7,72 28,735 28,735 222,12155 221,8342 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-28 7,76 7,75 28,854 28,854 223,90704 223,6185 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-29 7,833 7,823 28,8437 28,8437 225,9327021 225,6442651 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-06-30 7,823 7,813 28,7841 28,7841 225,1780143 224,8901733 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-01 7,858 7,848 28,8143 28,8143 226,4227694 226,1346264 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-04 7,945 7,935 28,8306 28,8306 229,059117 228,770811 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-05 7,963 7,953 28,9649 28,9649 230,6474987 230,3578497 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-06 7,895 7,885 28,9334 28,9334 228,429193 228,139859 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-07 7,878 7,868 28,913 28,913 227,776614 227,487484 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-08 7,913 7,903 29,1909 29,1909 230,9875917 230,6956827 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-11 7,89 7,88 29,462 29,462 232,45518 232,16056 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-12 7,77 7,76 29,5951 29,5951 229,953927 229,657976 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-13 7,703 7,693 29,5711 29,5711 227,7861833 227,4904723 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-15 7,76 7,75 29,4686 29,4686 228,676336 228,38165 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-18 7,78 7,77 29,3973 29,3973 228,710994 228,417021 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-19 7,878 7,868 29,4689 29,4689 232,1559942 231,8613052 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-20 7,818 7,808 29,5676 29,5676 231,1594968 230,8638208 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-21 7,775 7,765 29,5105 29,5105 229,4441375 229,1490325 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-22 7,758 7,748 29,7113 29,7113 230,5002654 230,2031524 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-25 7,838 7,828 29,6305 29,6305 232,243859 231,947554 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-26 7,818 7,808 29,5881 29,5881 231,3197658 231,0238848 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-27 7,905 7,895 29,6929 29,6929 234,7223745 234,4254455 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-28 7,848 7,838 29,8944 29,8944 234,6112512 234,3123072 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-07-29 7,748 7,738 29,7797 29,7797 230,7331156 230,4353186 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-01 7,72 7,71 29,8515 29,8515 230,45358 230,155065 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-02 7,7 7,69 30,0264 30,0264 231,20328 230,903016 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-03 7,685 7,675 30,0702 30,0702 231,089487 230,788785 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-04 7,618 7,608 29,9491 29,9491 228,1522438 227,8527528 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-05 7,548 7,538 29,6275 29,6275 223,62837 223,332095 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-08 7,558 7,548 29,7202 29,7202 224,6252716 224,3280696 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-09 7,548 7,538 29,8428 29,8428 225,2534544 224,9550264 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-10 7,558 7,548 30,0813 30,0813 227,3544654 227,0536524 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-11 7,523 7,513 30,2731 30,2731 227,7445313 227,4418003 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-12 7,46 7,45 30,1448 30,1448 224,880208 224,57876 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-16 7,523 7,513 29,8793 29,8793 224,7819739 224,4831809 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-17 7,605 7,595 29,8028 29,8028 226,650294 226,352266 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-18 7,61 7,6 29,659 29,659 225,70499 225,4084 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-19 7,698 7,688 29,6814 29,6814 228,4874172 228,1906032 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-22 7,69 7,68 29,8718 29,8718 229,714142 229,415424 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-23 7,663 7,653 29,7184 29,7184 227,7320992 227,4349152 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-24 7,673 7,663 29,6362 29,6362 227,3985626 227,1022006 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-25 7,588 7,578 29,6211 29,6211 224,7649068 224,4686958 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-26 7,578 7,568 29,4737 29,4737 223,3516986 223,0569616 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-29 7,573 7,563 29,545 29,545 223,744285 223,448835 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-30 7,633 7,623 29,4785 29,4785 225,0093905 224,7146055 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-08-31 7,668 7,658 29,8768 29,8768 229,0953024 228,7965344 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-01 7,568 7,558 30,2502 30,2502 228,9335136 228,6310116 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-02 7,435 7,425 30,2945 30,2945 225,2396075 224,9366625 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-05 7,41 7,4 30,341 30,341 224,82681 224,5234 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-06 7,485 7,475 30,4166 30,4166 227,668251 227,364085 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-07 7,43 7,42 30,4742 30,4742 226,423306 226,118564 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-08 7,498 7,488 30,3306 30,3306 227,4188388 227,1155328 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-09 7,523 7,513 30,5771 30,5771 230,0315233 229,7257523 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-12 7,555 7,545 30,395 30,395 229,634225 229,330275 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-13 7,57 7,56 30,191 30,191 228,54587 228,24396 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-14 7,61 7,6 30,2361 30,2361 230,096721 229,79436 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-15 7,658 7,648 30,2175 30,2175 231,405615 231,10344 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-16 7,613 7,603 30,4234 30,4234 231,6133442 231,3091102 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-19 7,698 7,688 30,3839 30,3839 233,8952622 233,5914232 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-20 7,688 7,678 30,2856 30,2856 232,8356928 232,5328368 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-21 7,663 7,653 30,1304 30,1304 230,8892552 230,5879512 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-22 7,648 7,638 30,1223 30,1223 230,3753504 230,0741274 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-23 7,733 7,723 30,0832 30,0832 232,6333856 232,3325536 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-26 7,798 7,788 30,2569 30,2569 235,9433062 235,6407372 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-27 7,825 7,815 30,1729 30,1729 236,1029425 235,8012135 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-28 7,81 7,8 30,38 30,38 237,2678 236,964 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-29 7,785 7,775 30,6353 30,6353 238,4958105 238,1894575 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-09-30 7,785 7,775 30,6275 30,6275 238,4350875 238,1288125 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-03 7,783 7,773 30,5065 30,5065 237,4320895 237,1270245 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-04 7,82 7,81 30,223 30,223 236,34386 236,04163 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-05 7,795 7,785 29,7381 29,7381 231,8084895 231,5111085 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-06 7,713 7,703 29,4585 29,4585 227,2134105 226,9188255 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-07 7,683 7,673 29,5117 29,5117 226,7383911 226,4432741 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-10 7,698 7,688 29,3256 29,3256 225,7484688 225,4552128 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-11 7,77 7,76 29,3781 29,3781 228,267837 227,974056 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-12 7,805 7,795 29,1527 29,1527 227,5368235 227,2452965 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-13 7,83 7,82 28,8149 28,8149 225,620667 225,332518 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-14 7,833 7,823 29,08 29,08 227,78364 227,49284 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-17 7,835 7,825 29,1087 29,1087 228,0666645 227,7755775 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-18 7,893 7,883 28,7355 28,7355 226,8093015 226,5219465 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-19 7,96 7,95 28,9217 28,9217 230,216732 229,927515 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-20 7,93 7,92 28,6161 28,6161 226,925673 226,639512 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-21 7,883 7,873 28,5985 28,5985 225,4419755 225,1559905 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-24 7,995 7,985 29,0161 29,0161 231,9837195 231,6935585 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-25 7,99 7,98 29,0551 29,0551 232,150249 231,859698 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-26 7,868 7,858 29,042 29,042 228,502456 228,212036 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-27 7,868 7,858 28,8264 28,8264 226,8061152 226,5178512 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-28 7,825 7,815 29,0946 29,0946 227,665245 227,374299 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-10-31 7,905 7,895 29,4576 29,4576 232,862328 232,567752 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-02 7,98 7,97 29,6912 29,6912 236,935776 236,638864 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-03 8,01 8 29,8608 29,8608 239,185008 238,8864 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-04 8,028 8,018 29,6428 29,6428 237,9723984 237,6759704 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-07 8,135 8,125 29,6953 29,6953 241,5712655 241,2743125 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-08 8,17 8,16 29,6175 29,6175 241,974975 241,6788 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-09 8,12 8,11 29,5557 29,5557 239,992284 239,696727 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-10 8,173 8,163 29,6664 29,6664 242,4634872 242,1668232 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-14 8,133 8,123 29,7432 29,7432 241,9014456 241,6040136 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-15 8,185 8,175 29,6284 29,6284 242,508454 242,21217 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-16 8,21 8,2 29,6242 29,6242 243,214682 242,91844 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-17 8,258 8,248 29,9429 29,9429 247,2684682 246,9690392 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-18 8,223 8,213 29,9549 29,9549 246,3191427 246,0195937 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-21 8,123 8,113 30,1612 30,1612 244,9994276 244,6978156 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-22 8,15 8,14 30,3131 30,3131 247,051765 246,748634 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-23 8,048 8,038 30,4545 30,4545 245,097816 244,793271 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-24 8,053 8,043 30,3843 30,3843 244,6847679 244,3809249 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-25 8,078 8,068 30,4343 30,4343 245,8482754 245,5439324 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-28 8,118 8,108 30,2728 30,2728 245,7545904 245,4518624 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-29 8,015 8,005 30,3192 30,3192 243,008388 242,705196 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-11-30 8,088 8,078 30,2197 30,2197 244,4169336 244,1147366 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-01 8,083 8,073 30,5893 30,5893 247,2533119 246,9474189 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-02 8,103 8,093 30,6873 30,6873 248,6591919 248,3523189 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-05 8,045 8,035 30,7437 30,7437 247,3330665 247,0256295 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-06 7,993 7,983 30,774 30,774 245,976582 245,668842 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-07 8,015 8,005 30,6493 30,6493 245,6541395 245,3476465 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-08 7,988 7,978 30,6503 30,6503 244,8345964 244,5280934 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-12 7,953 7,943 30,8754 30,8754 245,5520562 245,2433022 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-13 7,905 7,895 30,9701 30,9701 244,8186405 244,5089395 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-14 7,848 7,838 31,161 31,161 244,551528 244,239918 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-15 7,858 7,848 31,0443 31,0443 243,9461094 243,6356664 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-16 7,903 7,893 31,1294 31,1294 246,0156482 245,7043542 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-19 7,865 7,855 30,9758 30,9758 243,624667 243,314909 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-20 7,848 7,838 31,0204 31,0204 243,4480992 243,1378952 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-21 7,948 7,938 31,1342 31,1342 247,4546216 247,1432796 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-22 7,98 7,97 31,25 31,25 249,375 249,0625 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-23 7,955 7,945 31,2734 31,2734 248,779897 248,467163 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-27 8,01 8 31,0397 31,0397 248,627997 248,3176 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-28 7,915 7,905 31,0947 31,0947 246,1145505 245,8036035 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-29 7,938 7,928 31,0614 31,0614 246,5653932 246,2547792 113340 SG Asset Management S.A. SGAM Fund Equities Global USD 2005-12-30 7,958 7,948 30,8799 30,8799 245,7422442 245,4334452 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-03 6,668 6,658 6,1452 6,1452 40,9761936 40,9147416 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-04 6,728 6,718 5,9804 5,9804 40,2361312 40,1763272 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-05 6,828 6,818 5,9425 5,9425 40,57539 40,515965 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-07 6,87 6,86 5,8625 5,8625 40,275375 40,21675 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-10 6,96091 6,95091 5,8713 5,8713 40,869590883 40,810877883 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-11 6,96091 6,95091 5,7745 5,7745 40,195774795 40,138029795 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-12 6,913 6,903 5,7889 5,7889 40,0186657 39,9607767 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-13 6,843 6,833 5,7718 5,7718 39,4964274 39,4387094 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-14 6,915 6,905 5,8234 5,8234 40,268811 40,210577 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-17 6,915 6,905 5,8393 5,8393 40,3787595 40,3203665 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-18 6,968 6,958 5,864 5,864 40,860352 40,801712 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-19 6,91 6,9 5,744 5,744 39,69104 39,6336 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-20 6,96 6,95 5,7079 5,7079 39,726984 39,669905 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-21 6,978 6,968 5,6694 5,6694 39,5610732 39,5043792 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-24 6,933 6,923 5,5994 5,5994 38,8206402 38,7646462 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-25 6,95 6,94 5,631 5,631 39,13545 39,07914 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-26 6,995 6,985 5,7133 5,7133 39,9645335 39,9074005 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-27 6,93 6,92 5,7178 5,7178 39,624354 39,567176 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-28 6,985 6,975 5,71 5,71 39,88435 39,82725 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-01-31 6,998 6,988 5,7994 5,7994 40,5842012 40,5262072 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-01 6,993 6,983 5,8065 5,8065 40,6048545 40,5467895 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-02 6,953 6,943 5,8233 5,8233 40,4894049 40,4311719 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-03 6,968 6,958 5,7887 5,7887 40,3356616 40,2777746 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-04 7,01 7 5,9216 5,9216 41,510416 41,4512 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-07 7,065 7,055 5,9172 5,9172 41,805018 41,745846 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-08 7,123 7,113 5,9678 5,9678 42,5086394 42,4489614 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-09 7,1 7,09 5,8547 5,8547 41,56837 41,509823 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-10 7,088 7,078 5,8783 5,8783 41,6653904 41,6066074 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-11 7,068 7,058 5,9812 5,9812 42,2751216 42,2153096 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-14 7,03 7,02 6,0174 6,0174 42,302322 42,242148 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-15 7,005 6,995 6,0596 6,0596 42,447498 42,386902 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-16 6,973 6,963 6,0208 6,0208 41,9830384 41,9228304 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-17 6,97 6,96 5,9427 5,9427 41,420619 41,361192 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-18 6,965 6,955 5,9455 5,9455 41,4104075 41,3509525 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-21 6,978 6,968 5,9474 5,9474 41,5009572 41,4414832 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-22 6,905 6,895 5,9029 5,9029 40,7595245 40,7004955 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-23 6,895 6,885 5,9019 5,9019 40,6936005 40,6345815 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-24 6,858 6,848 5,9681 5,9681 40,9292298 40,8695488 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-25 6,885 6,875 6,0524 6,0524 41,670774 41,61025 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-02-28 6,828 6,818 6,0117 6,0117 41,0478876 40,9877706 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-01 6,87 6,86 6,0717 6,0717 41,712579 41,651862 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-02 6,888 6,878 6,0308 6,0308 41,5401504 41,4798424 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-03 6,903 6,893 5,9994 5,9994 41,4138582 41,3538642 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-04 6,9 6,89 6,0019 6,0019 41,41311 41,353091 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-07 6,84 6,83 6,042 6,042 41,32728 41,26686 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-08 6,825 6,815 5,9746 5,9746 40,776645 40,716899 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-09 6,76 6,75 5,9485 5,9485 40,21186 40,152375 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-10 6,745 6,735 5,9598 5,9598 40,198851 40,139253 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-11 6,765 6,755 5,9352 5,9352 40,151628 40,092276 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-14 6,76 6,75 5,9304 5,9304 40,089504 40,0302 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-15 6,815 6,805 5,8632 5,8632 39,957708 39,899076 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-16 6,81 6,8 5,82 5,82 39,6342 39,576 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-17 6,795 6,785 5,8263 5,8263 39,5897085 39,5314455 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-18 6,828 6,818 5,8082 5,8082 39,6583896 39,6003076 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-21 6,908 6,898 5,8085 5,8085 40,125118 40,067033 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-22 6,928 6,918 5,8069 5,8069 40,2302032 40,1721342 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-23 6,973 6,963 5,787 5,787 40,352751 40,294881 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-24 7,008 6,998 5,7896 5,7896 40,5735168 40,5156208 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-29 7,055 7,045 5,692 5,692 40,15706 40,10014 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-30 7,053 7,043 5,7851 5,7851 40,8023103 40,7444593 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-03-31 7,065 7,055 5,7851 5,7851 40,8717315 40,8138805 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-01 7,07 7,06 5,7627 5,7627 40,742289 40,684662 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-04 7,113 7,103 5,7496 5,7496 40,8969048 40,8394088 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-05 7,163 7,153 5,7407 5,7407 41,1206341 41,0632271 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-06 7,125 7,115 5,7696 5,7696 41,1084 41,050704 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-07 7,083 7,073 5,8274 5,8274 41,2754742 41,2172002 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-08 7,153 7,143 5,7757 5,7757 41,3135821 41,2558251 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-11 7,098 7,088 5,7312 5,7312 40,6800576 40,6227456 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-12 7,048 7,038 5,7556 5,7556 40,5654688 40,5079128 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-13 7,075 7,065 5,6652 5,6652 40,08129 40,024638 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-14 7,12 7,11 5,5573 5,5573 39,567976 39,512403 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-15 7,17 7,16 5,4343 5,4343 38,963931 38,909588 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-18 7,08 7,07 5,4439 5,4439 38,542812 38,488373 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-19 7,068 7,058 5,5402 5,5402 39,1581336 39,1027316 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-20 7,043 7,033 5,4874 5,4874 38,6477582 38,5928842 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-21 7,025 7,015 5,5986 5,5986 39,330165 39,274179 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-22 7,023 7,013 5,5438 5,5438 38,9341074 38,8786694 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-25 7,04 7,03 5,5857 5,5857 39,323328 39,267471 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-26 7,035 7,025 5,5215 5,5215 38,8437525 38,7885375 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-27 7,085 7,075 5,5019 5,5019 38,9809615 38,9259425 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-28 7,085 7,075 5,4307 5,4307 38,4765095 38,4222025 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-04-29 7,08 7,07 5,4873 5,4873 38,850084 38,795211 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-02 7,15 7,14 5,4925 5,4925 39,271375 39,21645 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-03 7,178 7,168 5,507 5,507 39,529246 39,474176 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-04 7,11 7,1 5,5889 5,5889 39,737079 39,68119 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-06 7,085 7,075 5,6418 5,6418 39,972153 39,915735 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-09 7,168 7,158 5,6835 5,6835 40,739328 40,682493 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-10 7,178 7,168 5,6177 5,6177 40,3238506 40,2676736 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-11 7,15 7,14 5,6333 5,6333 40,278095 40,221762 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-12 7,243 7,233 5,6166 5,6166 40,6810338 40,6248678 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-13 7,265 7,255 5,7426 5,7426 41,719989 41,662563 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-17 7,313 7,303 5,7576 5,7576 42,1053288 42,0477528 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-18 7,3 7,29 5,8465 5,8465 42,67945 42,620985 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-19 7,26 7,25 5,9039 5,9039 42,862314 42,803275 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-20 7,28 7,27 5,9023 5,9023 42,968744 42,909721 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-23 7,32 7,31 5,9294 5,9294 43,403208 43,343914 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-24 7,295 7,285 5,9652 5,9652 43,516134 43,456482 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-25 7,298 7,288 5,915 5,915 43,16767 43,10852 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-26 7,33 7,32 5,9911 5,9911 43,914763 43,854852 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-27 7,338 7,328 6,0044 6,0044 44,0602872 44,0002432 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-30 7,338 7,328 6,0068 6,0068 44,0778984 44,0178304 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-05-31 7,403 7,393 5,9848 5,9848 44,3054744 44,2456264 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-01 7,428 7,418 6,0172 6,0172 44,6957616 44,6355896 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-02 7,473 7,463 6,0762 6,0762 45,4074426 45,3466806 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-03 7,438 7,428 6,0084 6,0084 44,6904792 44,6303952 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-07 7,448 7,438 6,0005 6,0005 44,691724 44,631719 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-08 7,435 7,425 5,9906 5,9906 44,540111 44,480205 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-09 7,523 7,513 6,0194 6,0194 45,2839462 45,2237522 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-10 7,525 7,515 5,9975 5,9975 45,1311875 45,0712125 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-13 7,643 7,633 5,9783 5,9783 45,6921469 45,6323639 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-14 7,663 7,653 5,9457 5,9457 45,5618991 45,5024421 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-15 7,693 7,683 5,9602 5,9602 45,8518186 45,7922166 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-16 7,678 7,668 6,0131 6,0131 46,1685818 46,1084508 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-17 7,643 7,633 6,0055 6,0055 45,9000365 45,8399815 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-20 7,543 7,533 5,9633 5,9633 44,9811719 44,9215389 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-21 7,648 7,638 5,9745 5,9745 45,692976 45,633231 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-22 7,608 7,598 5,9841 5,9841 45,5270328 45,4671918 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-27 7,73 7,72 5,8289 5,8289 45,057397 44,999108 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-28 7,76 7,75 5,912 5,912 45,87712 45,818 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-29 7,833 7,823 5,9309 5,9309 46,4567397 46,3974307 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-06-30 7,823 7,813 5,895 5,895 46,116585 46,057635 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-01 7,858 7,848 5,8869 5,8869 46,2592602 46,2003912 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-04 7,945 7,935 5,882 5,882 46,73249 46,67367 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-05 7,963 7,953 5,9138 5,9138 47,0915894 47,0324514 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-06 7,895 7,885 5,9258 5,9258 46,784191 46,724933 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-07 7,878 7,868 5,9217 5,9217 46,6511526 46,5919356 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-08 7,913 7,903 6,0256 6,0256 47,6805728 47,6203168 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-11 7,89 7,88 6,1323 6,1323 48,383847 48,322524 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-12 7,77 7,76 6,1622 6,1622 47,880294 47,818672 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-13 7,703 7,693 6,1695 6,1695 47,5236585 47,4619635 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-15 7,76 7,75 6,1855 6,1855 47,99948 47,937625 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-18 7,78 7,77 6,1637 6,1637 47,953586 47,891949 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-19 7,878 7,868 6,2537 6,2537 49,2666486 49,2041116 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-20 7,818 7,808 6,2558 6,2558 48,9078444 48,8452864 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-21 7,775 7,765 6,1669 6,1669 47,9476475 47,8859785 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-22 7,758 7,748 6,1649 6,1649 47,8272942 47,7656452 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-25 7,838 7,828 6,1163 6,1163 47,9395594 47,8783964 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-26 7,818 7,808 6,1673 6,1673 48,2159514 48,1542784 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-27 7,905 7,895 6,2105 6,2105 49,0940025 49,0318975 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-28 7,848 7,838 6,2509 6,2509 49,0570632 48,9945542 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-07-29 7,748 7,738 6,2213 6,2213 48,2026324 48,1404194 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-01 7,72 7,71 6,2487 6,2487 48,239964 48,177477 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-02 7,7 7,69 6,3003 6,3003 48,51231 48,449307 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-03 7,685 7,675 6,279 6,279 48,254115 48,191325 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-04 7,618 7,608 6,1901 6,1901 47,1561818 47,0942808 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-05 7,548 7,538 6,1435 6,1435 46,371138 46,309703 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-08 7,558 7,548 6,096 6,096 46,073568 46,012608 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-09 7,548 7,538 6,1507 6,1507 46,4254836 46,3639766 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-10 7,558 7,548 6,1054 6,1054 46,1446132 46,0835592 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-11 7,523 7,513 6,1504 6,1504 46,2694592 46,2079552 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-12 7,46 7,45 6,1552 6,1552 45,917792 45,85624 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-16 7,523 7,513 6,0753 6,0753 45,7044819 45,6437289 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-17 7,605 7,595 6,1067 6,1067 46,4414535 46,3803865 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-18 7,61 7,6 6,0684 6,0684 46,180524 46,11984 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-19 7,698 7,688 6,0841 6,0841 46,8354018 46,7745608 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-22 7,69 7,68 6,1096 6,1096 46,982824 46,921728 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-23 7,663 7,653 6,1035 6,1035 46,7711205 46,7100855 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-24 7,673 7,663 6,0715 6,0715 46,5866195 46,5259045 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-25 7,588 7,578 6,0887 6,0887 46,2010556 46,1401686 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-26 7,578 7,568 6,0433 6,0433 45,7961274 45,7356944 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-29 7,573 7,563 6,0836 6,0836 46,0711028 46,0102668 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-30 7,633 7,623 6,0738 6,0738 46,3613154 46,3005774 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-08-31 7,668 7,658 6,1682 6,1682 47,2977576 47,2360756 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-01 7,568 7,558 6,1972 6,1972 46,9004096 46,8384376 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-02 7,435 7,425 6,2009 6,2009 46,1036915 46,0416825 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-05 7,41 7,4 6,2061 6,2061 45,987201 45,92514 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-06 7,485 7,475 6,3018 6,3018 47,168973 47,105955 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-07 7,43 7,42 6,323 6,323 46,97989 46,91666 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-08 7,498 7,488 6,3292 6,3292 47,4563416 47,3930496 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-09 7,523 7,513 6,3726 6,3726 47,9410698 47,8773438 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-12 7,555 7,545 6,3873 6,3873 48,2560515 48,1921785 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-13 7,57 7,56 6,3796 6,3796 48,293572 48,229776 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-14 7,61 7,6 6,3372 6,3372 48,226092 48,16272 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-15 7,658 7,648 6,2757 6,2757 48,0593106 47,9965536 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-16 7,613 7,603 6,3087 6,3087 48,0281331 47,9650461 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-19 7,698 7,688 6,2596 6,2596 48,1864008 48,1238048 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-20 7,688 7,678 6,2434 6,2434 47,9992592 47,9368252 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-21 7,663 7,653 6,1493 6,1493 47,1220859 47,0605929 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-22 7,648 7,638 6,1201 6,1201 46,8065248 46,7453238 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-23 7,733 7,723 6,1373 6,1373 47,4597409 47,3983679 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-26 7,798 7,788 6,1522 6,1522 47,9748556 47,9133336 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-27 7,825 7,815 6,0922 6,0922 47,671465 47,610543 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-28 7,81 7,8 6,1117 6,1117 47,732377 47,67126 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-29 7,785 7,775 6,2031 6,2031 48,2911335 48,2291025 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-09-30 7,785 7,775 6,2773 6,2773 48,8687805 48,8060075 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-03 7,783 7,773 6,3046 6,3046 49,0687018 49,0056558 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-04 7,82 7,81 6,2917 6,2917 49,201094 49,138177 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-05 7,795 7,785 6,182 6,182 48,18869 48,12687 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-06 7,713 7,703 6,0954 6,0954 47,0138202 46,9528662 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-07 7,683 7,673 6,1003 6,1003 46,8686049 46,8076019 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-10 7,698 7,688 6,0322 6,0322 46,4358756 46,3755536 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-11 7,77 7,76 5,962 5,962 46,32474 46,26512 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-12 7,805 7,795 5,8988 5,8988 46,040134 45,981146 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-13 7,83 7,82 5,9325 5,9325 46,451475 46,39215 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-14 7,833 7,823 5,9957 5,9957 46,9643181 46,9043611 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-17 7,835 7,825 6,005 6,005 47,049175 46,989125 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-18 7,893 7,883 5,958 5,958 47,026494 46,966914 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-19 7,96 7,95 5,9854 5,9854 47,643784 47,58393 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-20 7,93 7,92 5,9805 5,9805 47,425365 47,36556 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-21 7,883 7,873 5,9968 5,9968 47,2727744 47,2128064 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-24 7,995 7,985 6,0645 6,0645 48,4856775 48,4250325 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-25 7,99 7,98 6,05 6,05 48,3395 48,279 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-26 7,868 7,858 6,0659 6,0659 47,7265012 47,6658422 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-27 7,868 7,858 5,9639 5,9639 46,9239652 46,8643262 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-28 7,825 7,815 5,9901 5,9901 46,8725325 46,8126315 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-10-31 7,905 7,895 6,1055 6,1055 48,2639775 48,2029225 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-02 7,98 7,97 6,1947 6,1947 49,433706 49,371759 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-03 8,01 8 6,2555 6,2555 50,106555 50,044 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-04 8,028 8,018 6,2483 6,2483 50,1613524 50,0988694 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-07 8,135 8,125 6,269 6,269 50,998315 50,935625 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-08 8,17 8,16 6,2349 6,2349 50,939133 50,876784 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-09 8,12 8,11 6,2558 6,2558 50,797096 50,734538 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-10 8,173 8,163 6,2822 6,2822 51,3444206 51,2815986 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-14 8,133 8,123 6,3189 6,3189 51,3916137 51,3284247 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-15 8,185 8,175 6,3043 6,3043 51,6006955 51,5376525 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-16 8,21 8,2 6,3029 6,3029 51,746809 51,68378 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-17 8,258 8,248 6,4112 6,4112 52,9436896 52,8795776 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-18 8,223 8,213 6,5053 6,5053 53,4930819 53,4280289 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-21 8,123 8,113 6,5337 6,5337 53,0732451 53,0079081 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-22 8,15 8,14 6,5349 6,5349 53,259435 53,194086 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-23 8,048 8,038 6,5646 6,5646 52,8319008 52,7662548 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-24 8,053 8,043 6,5602 6,5602 52,8292906 52,7636886 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-25 8,078 8,068 6,5583 6,5583 52,9779474 52,9123644 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-28 8,118 8,108 6,5102 6,5102 52,8498036 52,7847016 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-29 8,015 8,005 6,4926 6,4926 52,038189 51,973263 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-11-30 8,088 8,078 6,532 6,532 52,830816 52,765496 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-01 8,083 8,073 6,6253 6,6253 53,5522999 53,4860469 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-02 8,103 8,093 6,6206 6,6206 53,6467218 53,5805158 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-05 8,045 8,035 6,5891 6,5891 53,0093095 52,9434185 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-06 7,993 7,983 6,6216 6,6216 52,9264488 52,8602328 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-07 8,015 8,005 6,5977 6,5977 52,8805655 52,8145885 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-08 7,988 7,978 6,5866 6,5866 52,6137608 52,5478948 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-12 7,953 7,943 6,6574 6,6574 52,9463022 52,8797282 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-13 7,905 7,895 6,6403 6,6403 52,4915715 52,4251685 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-14 7,848 7,838 6,6208 6,6208 51,9600384 51,8938304 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-15 7,858 7,848 6,5833 6,5833 51,7315714 51,6657384 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-16 7,903 7,893 6,568 6,568 51,906904 51,841224 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-19 7,865 7,855 6,4867 6,4867 51,0178955 50,9530285 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-20 7,848 7,838 6,4925 6,4925 50,95314 50,888215 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-21 7,948 7,938 6,57 6,57 52,21836 52,15266 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-22 7,98 7,97 6,6098 6,6098 52,746204 52,680106 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-23 7,955 7,945 6,6424 6,6424 52,840292 52,773868 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-27 8,01 8 6,5804 6,5804 52,709004 52,6432 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-28 7,915 7,905 6,5967 6,5967 52,2128805 52,1469135 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-29 7,938 7,928 6,5857 6,5857 52,2772866 52,2114296 564559 SG Asset Management S.A. SGAM Fund Equities Global Technology USD 2005-12-30 7,958 7,948 6,5403 6,5403 52,0477074 51,9823044 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-03 6,668 6,658 13,8852 13,8852 92,5865136 92,4476616 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-04 6,728 6,718 13,265 13,265 89,24692 89,11427 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-05 6,828 6,818 13,1733 13,1733 89,9472924 89,8155594 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-07 6,87 6,86 13,1129 13,1129 90,085623 89,954494 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-10 6,96091 6,95091 13,346 13,346 92,90030486 92,76684486 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-11 6,96091 6,95091 13,5393 13,5393 94,245848763 94,110455763 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-12 6,913 6,903 13,5389 13,5389 93,5944157 93,4590267 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-13 6,843 6,833 13,334 13,334 91,244562 91,111222 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-14 6,915 6,905 13,135 13,135 90,828525 90,697175 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-17 6,915 6,905 13,1628 13,1628 91,020762 90,889134 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-18 6,968 6,958 13,2472 13,2472 92,3064896 92,1740176 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-19 6,91 6,9 13,2203 13,2203 91,352273 91,22007 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-20 6,96 6,95 13,1829 13,1829 91,752984 91,621155 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-21 6,978 6,968 13,5011 13,5011 94,2106758 94,0756648 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-24 6,933 6,923 13,5151 13,5151 93,7001883 93,5650373 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-25 6,95 6,94 13,0723 13,0723 90,852485 90,721762 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-26 6,995 6,985 13,2279 13,2279 92,5291605 92,3968815 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-27 6,93 6,92 13,1998 13,1998 91,474614 91,342616 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-28 6,985 6,975 13,085 13,085 91,398725 91,267875 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-01-31 6,998 6,988 13,0253 13,0253 91,1510494 91,0207964 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-01 6,993 6,983 13,0436 13,0436 91,2138948 91,0834588 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-02 6,953 6,943 13,1592 13,1592 91,4959176 91,3643256 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-03 6,968 6,958 12,9253 12,9253 90,0634904 89,9342374 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-04 7,01 7 12,9059 12,9059 90,470359 90,3413 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-07 7,065 7,055 12,585 12,585 88,913025 88,787175 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-08 7,123 7,113 12,5444 12,5444 89,3537612 89,2283172 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-09 7,1 7,09 12,7993 12,7993 90,87503 90,747037 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-10 7,088 7,078 13,2513 13,2513 93,9252144 93,7927014 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-11 7,068 7,058 13,5213 13,5213 95,5685484 95,4333354 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-14 7,03 7,02 13,6972 13,6972 96,291316 96,154344 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-15 7,005 6,995 13,5506 13,5506 94,921953 94,786447 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-16 6,973 6,963 13,5011 13,5011 94,1431703 94,0081593 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-17 6,97 6,96 13,7954 13,7954 96,153938 96,015984 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-18 6,965 6,955 13,7312 13,7312 95,637808 95,500496 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-21 6,978 6,968 13,7633 13,7633 96,0403074 95,9026744 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-22 6,905 6,895 14,1249 14,1249 97,5324345 97,3911855 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-23 6,895 6,885 14,1046 14,1046 97,251217 97,110171 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-24 6,858 6,848 13,9761 13,9761 95,8480938 95,7083328 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-25 6,885 6,875 14,082 14,082 96,95457 96,81375 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-02-28 6,828 6,818 14,1455 14,1455 96,585474 96,444019 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-01 6,87 6,86 13,8097 13,8097 94,872639 94,734542 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-02 6,888 6,878 13,9239 13,9239 95,9078232 95,7685842 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-03 6,903 6,893 13,813 13,813 95,351139 95,213009 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-04 6,9 6,89 14,1147 14,1147 97,39143 97,250283 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-07 6,84 6,83 14,0138 14,0138 95,854392 95,714254 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-08 6,825 6,815 14,4652 14,4652 98,72499 98,580338 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-09 6,76 6,75 14,5565 14,5565 98,40194 98,256375 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-10 6,745 6,735 14,5027 14,5027 97,8207115 97,6756845 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-11 6,765 6,755 14,4888 14,4888 98,016732 97,871844 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-14 6,76 6,75 14,3521 14,3521 97,020196 96,876675 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-15 6,815 6,805 14,2882 14,2882 97,374083 97,231201 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-16 6,81 6,8 14,2987 14,2987 97,374147 97,23116 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-17 6,795 6,785 14,2433 14,2433 96,7832235 96,6407905 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-18 6,828 6,818 14,0685 14,0685 96,059718 95,919033 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-21 6,908 6,898 13,8057 13,8057 95,3697756 95,2317186 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-22 6,928 6,918 13,6125 13,6125 94,3074 94,171275 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-23 6,973 6,963 13,2992 13,2992 92,7353216 92,6023296 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-24 7,008 6,998 13,0395 13,0395 91,380816 91,250421 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-29 7,055 7,045 12,9081 12,9081 91,0666455 90,9375645 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-30 7,053 7,043 13,072 13,072 92,196816 92,066096 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-03-31 7,065 7,055 13,072 13,072 92,35368 92,22296 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-01 7,07 7,06 13,3002 13,3002 94,032414 93,899412 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-04 7,113 7,103 13,0414 13,0414 92,7634782 92,6330642 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-05 7,163 7,153 13,009 13,009 93,183467 93,053377 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-06 7,125 7,115 13,0492 13,0492 92,97555 92,845058 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-07 7,083 7,073 13,0901 13,0901 92,7171783 92,5862773 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-08 7,153 7,143 12,9455 12,9455 92,5991615 92,4697065 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-11 7,098 7,088 12,8815 12,8815 91,432887 91,304072 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-12 7,048 7,038 12,7854 12,7854 90,1114992 89,9836452 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-13 7,075 7,065 12,6486 12,6486 89,488845 89,362359 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-14 7,12 7,11 12,209 12,209 86,92808 86,80599 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-15 7,17 7,16 12,0988 12,0988 86,748396 86,627408 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-18 7,08 7,07 12,212 12,212 86,46096 86,33884 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-19 7,068 7,058 12,6832 12,6832 89,6448576 89,5180256 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-20 7,043 7,033 12,6189 12,6189 88,8749127 88,7487237 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-21 7,025 7,015 12,5574 12,5574 88,215735 88,090161 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-22 7,023 7,013 12,6073 12,6073 88,5410679 88,4149949 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-25 7,04 7,03 12,5912 12,5912 88,642048 88,516136 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-26 7,035 7,025 12,497 12,497 87,916395 87,791425 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-27 7,085 7,075 12,1483 12,1483 86,0707055 85,9492225 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-28 7,085 7,075 12,0031 12,0031 85,0419635 84,9219325 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-04-29 7,08 7,07 12,1437 12,1437 85,977396 85,855959 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-02 7,15 7,14 12,017 12,017 85,92155 85,80138 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-03 7,178 7,168 12,1266 12,1266 87,0447348 86,9234688 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-04 7,11 7,1 12,3999 12,3999 88,163289 88,03929 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-06 7,085 7,075 12,3702 12,3702 87,642867 87,519165 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-09 7,168 7,158 12,3761 12,3761 88,7118848 88,5881238 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-10 7,178 7,168 12,1828 12,1828 87,4481384 87,3263104 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-11 7,15 7,14 12,1052 12,1052 86,55218 86,431128 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-12 7,243 7,233 11,8045 11,8045 85,4999935 85,3819485 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-13 7,265 7,255 11,4068 11,4068 82,870402 82,756334 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-17 7,313 7,303 11,5215 11,5215 84,2567295 84,1415145 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-18 7,3 7,29 11,7642 11,7642 85,87866 85,761018 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-19 7,26 7,25 11,7362 11,7362 85,204812 85,08745 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-20 7,28 7,27 11,6852 11,6852 85,068256 84,951404 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-23 7,32 7,31 11,8216 11,8216 86,534112 86,415896 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-24 7,295 7,285 12,1994 12,1994 88,994623 88,872629 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-25 7,298 7,288 12,1986 12,1986 89,0253828 88,9033968 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-26 7,33 7,32 12,1596 12,1596 89,129868 89,008272 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-27 7,338 7,328 12,484 12,484 91,607592 91,482752 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-30 7,338 7,328 12,4535 12,4535 91,383783 91,259248 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-05-31 7,403 7,393 12,4329 12,4329 92,0407587 91,9164297 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-01 7,428 7,418 12,7813 12,7813 94,9394964 94,8116834 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-02 7,473 7,463 12,7892 12,7892 95,5736916 95,4457996 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-03 7,438 7,428 12,9705 12,9705 96,474579 96,344874 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-07 7,448 7,438 12,7577 12,7577 95,0193496 94,8917726 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-08 7,435 7,425 12,7672 12,7672 94,924132 94,79646 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-09 7,523 7,513 12,6865 12,6865 95,4405395 95,3136745 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-10 7,525 7,515 13,0967 13,0967 98,5526675 98,4217005 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-13 7,643 7,633 13,2363 13,2363 101,1650409 101,0326779 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-14 7,663 7,653 13,1101 13,1101 100,4626963 100,3315953 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-15 7,693 7,683 13,3039 13,3039 102,3469027 102,2138637 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-16 7,678 7,668 13,76 13,76 105,64928 105,51168 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-17 7,643 7,633 13,8207 13,8207 105,6316101 105,4934031 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-20 7,543 7,533 13,6359 13,6359 102,8555937 102,7192347 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-21 7,648 7,638 13,6852 13,6852 104,6644096 104,5275576 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-22 7,608 7,598 13,6975 13,6975 104,21058 104,073605 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-27 7,73 7,72 13,6394 13,6394 105,432562 105,296168 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-28 7,76 7,75 13,4772 13,4772 104,583072 104,4483 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-29 7,833 7,823 13,9369 13,9369 109,1677377 109,0283687 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-06-30 7,823 7,813 13,8599 13,8599 108,4259977 108,2873987 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-01 7,858 7,848 13,7046 13,7046 107,6907468 107,5537008 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-04 7,945 7,935 13,7129 13,7129 108,9489905 108,8118615 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-05 7,963 7,953 13,5105 13,5105 107,5841115 107,4490065 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-06 7,895 7,885 13,6729 13,6729 107,9475455 107,8108165 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-07 7,878 7,868 13,7759 13,7759 108,5265402 108,3887812 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-08 7,913 7,903 13,735 13,735 108,685055 108,547705 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-11 7,89 7,88 13,9792 13,9792 110,295888 110,156096 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-12 7,77 7,76 14,0194 14,0194 108,930738 108,790544 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-13 7,703 7,693 13,9454 13,9454 107,4214162 107,2819622 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-15 7,76 7,75 13,532 13,532 105,00832 104,873 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-18 7,78 7,77 13,5079 13,5079 105,091462 104,956383 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-19 7,878 7,868 13,4783 13,4783 106,1820474 106,0472644 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-20 7,818 7,808 13,5655 13,5655 106,055079 105,919424 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-21 7,775 7,765 13,8605 13,8605 107,7653875 107,6267825 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-22 7,758 7,748 13,9445 13,9445 108,181431 108,041986 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-25 7,838 7,828 13,843 13,843 108,501434 108,363004 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-26 7,818 7,808 13,6465 13,6465 106,688337 106,551872 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-27 7,905 7,895 13,6415 13,6415 107,8360575 107,6996425 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-28 7,848 7,838 13,622 13,622 106,905456 106,769236 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-07-29 7,748 7,738 13,6764 13,6764 105,9647472 105,8279832 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-01 7,72 7,71 13,7964 13,7964 106,508208 106,370244 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-02 7,7 7,69 14,0006 14,0006 107,80462 107,664614 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-03 7,685 7,675 14,5078 14,5078 111,492443 111,347365 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-04 7,618 7,608 14,5153 14,5153 110,5775554 110,4324024 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-05 7,548 7,538 14,3844 14,3844 108,5734512 108,4296072 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-08 7,558 7,548 14,2605 14,2605 107,780859 107,638254 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-09 7,548 7,538 14,1939 14,1939 107,1355572 106,9936182 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-10 7,558 7,548 14,5081 14,5081 109,6522198 109,5071388 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-11 7,523 7,513 15,1631 15,1631 114,0720013 113,9203703 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-12 7,46 7,45 14,983 14,983 111,77318 111,62335 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-16 7,523 7,513 14,9112 14,9112 112,1769576 112,0278456 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-17 7,605 7,595 14,6855 14,6855 111,6832275 111,5363725 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-18 7,61 7,6 14,4019 14,4019 109,598459 109,45444 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-19 7,698 7,688 14,464 14,464 111,343872 111,199232 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-22 7,69 7,68 14,4846 14,4846 111,386574 111,241728 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-23 7,663 7,653 14,3507 14,3507 109,9694141 109,8259071 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-24 7,673 7,663 14,075 14,075 107,997475 107,856725 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-25 7,588 7,578 14,1966 14,1966 107,7238008 107,5818348 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-26 7,578 7,568 14,246 14,246 107,956188 107,813728 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-29 7,573 7,563 14,2916 14,2916 108,2302868 108,0873708 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-30 7,633 7,623 14,0033 14,0033 106,8871889 106,7471559 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-08-31 7,668 7,658 14,3462 14,3462 110,0066616 109,8631996 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-01 7,568 7,558 15,0423 15,0423 113,8401264 113,6897034 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-02 7,435 7,425 15,0712 15,0712 112,054372 111,90366 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-05 7,41 7,4 15,0375 15,0375 111,427875 111,2775 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-06 7,485 7,475 14,9417 14,9417 111,8386245 111,6892075 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-07 7,43 7,42 14,9198 14,9198 110,854114 110,704916 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-08 7,498 7,488 15,1582 15,1582 113,6561836 113,5046016 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-09 7,523 7,513 15,5053 15,5053 116,6463719 116,4913189 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-12 7,555 7,545 15,4701 15,4701 116,8766055 116,7219045 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-13 7,57 7,56 15,2271 15,2271 115,269147 115,116876 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-14 7,61 7,6 15,7536 15,7536 119,884896 119,72736 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-15 7,658 7,648 15,9446 15,9446 122,1037468 121,9443008 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-16 7,613 7,603 16,383 16,383 124,723779 124,559949 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-19 7,698 7,688 16,3525 16,3525 125,881545 125,71802 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-20 7,688 7,678 16,1562 16,1562 124,2088656 124,0473036 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-21 7,663 7,653 16,6429 16,6429 127,5345427 127,3681137 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-22 7,648 7,638 16,3909 16,3909 125,3576032 125,1936942 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-23 7,733 7,723 16,3626 16,3626 126,5319858 126,3683598 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-26 7,798 7,788 16,5077 16,5077 128,7270446 128,5619676 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-27 7,825 7,815 16,2217 16,2217 126,9348025 126,7725855 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-28 7,81 7,8 16,4493 16,4493 128,469033 128,30454 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-29 7,785 7,775 16,7969 16,7969 130,7638665 130,5958975 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-09-30 7,785 7,775 16,7089 16,7089 130,0787865 129,9116975 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-03 7,783 7,773 16,5227 16,5227 128,5961741 128,4309471 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-04 7,82 7,81 16,2422 16,2422 127,014004 126,851582 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-05 7,795 7,785 15,844 15,844 123,50398 123,34554 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-06 7,713 7,703 16,0883 16,0883 124,0890579 123,9281749 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-07 7,683 7,673 16,5055 16,5055 126,8117565 126,6467015 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-10 7,698 7,688 16,5374 16,5374 127,3049052 127,1395312 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-11 7,77 7,76 16,3745 16,3745 127,229865 127,06612 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-12 7,805 7,795 16,1245 16,1245 125,8517225 125,6904775 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-13 7,83 7,82 15,853 15,853 124,12899 123,97046 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-14 7,833 7,823 15,7798 15,7798 123,6031734 123,4453754 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-17 7,835 7,825 16,0649 16,0649 125,8684915 125,7078425 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-18 7,893 7,883 15,7062 15,7062 123,9690366 123,8119746 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-19 7,96 7,95 15,3813 15,3813 122,435148 122,281335 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-20 7,93 7,92 14,9454 14,9454 118,517022 118,367568 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-21 7,883 7,873 15,3479 15,3479 120,9874957 120,8340167 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-24 7,995 7,985 15,4084 15,4084 123,190158 123,036074 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-25 7,99 7,98 15,8116 15,8116 126,334684 126,176568 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-26 7,868 7,858 15,565 15,565 122,46542 122,30977 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-27 7,868 7,858 15,4989 15,4989 121,9453452 121,7903562 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-28 7,825 7,815 15,5303 15,5303 121,5245975 121,3692945 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-10-31 7,905 7,895 15,6242 15,6242 123,509301 123,353059 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-02 7,98 7,97 16,0235 16,0235 127,86753 127,707295 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-03 8,01 8 15,926 15,926 127,56726 127,408 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-04 8,028 8,018 15,9096 15,9096 127,7222688 127,5631728 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-07 8,135 8,125 15,7643 15,7643 128,2425805 128,0849375 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-08 8,17 8,16 15,6422 15,6422 127,796774 127,640352 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-09 8,12 8,11 16,0279 16,0279 130,146548 129,986269 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-10 8,173 8,163 16,0287 16,0287 131,0025651 130,8422781 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-14 8,133 8,123 16,1627 16,1627 131,4512391 131,2896121 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-15 8,185 8,175 16,0002 16,0002 130,961637 130,801635 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-16 8,21 8,2 16,6571 16,6571 136,754791 136,58822 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-17 8,258 8,248 17,0588 17,0588 140,8715704 140,7009824 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-18 8,223 8,213 17,0485 17,0485 140,1898155 140,0193305 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-21 8,123 8,113 17,4062 17,4062 141,3905626 141,2165006 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-22 8,15 8,14 17,4382 17,4382 142,12133 141,946948 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-23 8,048 8,038 17,2325 17,2325 138,68716 138,514835 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-24 8,053 8,043 17,3257 17,3257 139,5238621 139,3506051 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-25 8,078 8,068 17,5308 17,5308 141,6138024 141,4384944 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-28 8,118 8,108 17,5375 17,5375 142,369425 142,19405 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-29 8,015 8,005 17,4867 17,4867 140,1559005 139,9810335 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-11-30 8,088 8,078 17,1873 17,1873 139,0108824 138,8390094 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-01 8,083 8,073 17,4831 17,4831 141,3158973 141,1410663 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-02 8,103 8,093 17,2795 17,2795 140,0157885 139,8429935 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-05 8,045 8,035 17,4593 17,4593 140,4600685 140,2854755 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-06 7,993 7,983 17,8645 17,8645 142,7909485 142,6123035 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-07 8,015 8,005 18,1782 18,1782 145,698273 145,516491 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-08 7,988 7,978 18,4477 18,4477 147,3602276 147,1757506 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-12 7,953 7,943 18,376 18,376 146,144328 145,960568 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-13 7,905 7,895 18,1176 18,1176 143,219628 143,038452 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-14 7,848 7,838 17,8259 17,8259 139,8976632 139,7194042 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-15 7,858 7,848 18,0337 18,0337 141,7088146 141,5284776 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-16 7,903 7,893 18,2549 18,2549 144,2684747 144,0859257 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-19 7,865 7,855 18,1797 18,1797 142,9833405 142,8015435 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-20 7,848 7,838 17,7963 17,7963 139,6653624 139,4873994 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-21 7,948 7,938 18,1188 18,1188 144,0082224 143,8270344 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-22 7,98 7,97 18,7304 18,7304 149,468592 149,281288 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-23 7,955 7,945 18,7868 18,7868 149,448994 149,261126 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-27 8,01 8 18,6823 18,6823 149,645223 149,4584 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-28 7,915 7,905 19,3088 19,3088 152,829152 152,636064 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-29 7,938 7,928 19,5895 19,5895 155,501451 155,305556 406009 SG Asset Management S.A. SGAM Fund Equities Gold Mines USD 2005-12-30 7,958 7,948 19,3379 19,3379 153,8910082 153,6976292 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-03 6,668 6,658 24,0946 24,0946 160,6627928 160,4218468 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-04 6,728 6,718 23,8248 23,8248 160,2932544 160,0550064 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-05 6,828 6,818 23,6884 23,6884 161,7443952 161,5075112 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-07 6,87 6,86 23,6933 23,6933 162,772971 162,536038 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-10 6,96091 6,95091 23,7384 23,7384 165,240865944 165,003481944 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-11 6,96091 6,95091 23,6455 23,6455 164,594197405 164,357742405 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-12 6,913 6,903 23,7792 23,7792 164,3856096 164,1478176 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-13 6,843 6,833 23,6509 23,6509 161,8431087 161,6065997 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-14 6,915 6,905 23,7454 23,7454 164,199441 163,961987 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-17 6,915 6,905 23,8371 23,8371 164,8335465 164,5951755 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-18 6,968 6,958 23,8421 23,8421 166,1317528 165,8933318 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-19 6,91 6,9 23,6889 23,6889 163,690299 163,45341 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-20 6,96 6,95 23,4587 23,4587 163,272552 163,037965 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-21 6,978 6,968 23,3904 23,3904 163,2182112 162,9843072 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-24 6,933 6,923 23,4851 23,4851 162,8221983 162,5873473 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-25 6,95 6,94 23,4694 23,4694 163,11233 162,877636 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-26 6,995 6,985 23,6866 23,6866 165,687767 165,450901 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-27 6,93 6,92 23,694 23,694 164,19942 163,96248 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-28 6,985 6,975 23,6112 23,6112 164,924232 164,68812 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-01-31 6,998 6,988 23,8274 23,8274 166,7441452 166,5058712 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-01 6,993 6,983 23,951 23,951 167,489343 167,249833 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-02 6,953 6,943 23,9879 23,9879 166,7878687 166,5479897 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-03 6,968 6,958 23,8153 23,8153 165,9450104 165,7068574 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-04 7,01 7 24,0632 24,0632 168,683032 168,4424 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-07 7,065 7,055 24,0869 24,0869 170,1739485 169,9330795 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-08 7,123 7,113 24,0551 24,0551 171,3444773 171,1039263 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-09 7,1 7,09 23,9854 23,9854 170,29634 170,056486 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-10 7,088 7,078 24,1272 24,1272 171,0135936 170,7723216 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-11 7,068 7,058 24,2883 24,2883 171,6697044 171,4268214 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-14 7,03 7,02 24,4306 24,4306 171,747118 171,502812 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-15 7,005 6,995 24,5126 24,5126 171,710763 171,465637 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-16 6,973 6,963 24,4184 24,4184 170,2695032 170,0253192 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-17 6,97 6,96 24,3508 24,3508 169,725076 169,481568 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-18 6,965 6,955 24,3611 24,3611 169,6750615 169,4314505 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-21 6,978 6,968 24,3919 24,3919 170,2066782 169,9627592 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-22 6,905 6,895 24,3014 24,3014 167,801167 167,558153 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-23 6,895 6,885 24,2155 24,2155 166,9658725 166,7237175 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-24 6,858 6,848 24,3129 24,3129 166,7378682 166,4947392 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-25 6,885 6,875 24,5417 24,5417 168,9696045 168,7241875 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-02-28 6,828 6,818 24,597 24,597 167,948316 167,702346 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-01 6,87 6,86 24,6672 24,6672 169,463664 169,216992 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-02 6,888 6,878 24,6262 24,6262 169,6252656 169,3790036 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-03 6,903 6,893 24,6486 24,6486 170,1492858 169,9027998 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-04 6,9 6,89 24,8798 24,8798 171,67062 171,421822 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-07 6,84 6,83 24,8428 24,8428 169,924752 169,676324 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-08 6,825 6,815 24,8624 24,8624 169,68588 169,437256 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-09 6,76 6,75 24,7436 24,7436 167,266736 167,0193 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-10 6,745 6,735 24,6589 24,6589 166,3242805 166,0776915 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-11 6,765 6,755 24,6621 24,6621 166,8391065 166,5924855 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-14 6,76 6,75 24,6147 24,6147 166,395372 166,149225 457069 SG Asset Management S.A. SGAM Fund Equities International USD 2005-03-15 6,815 6,805 24,5062 24,5062 167,009753 166,764691 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-03 5,84 5,834 28,6111 28,6111 167,088824 166,9171574 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-04 5,847 5,841 28,6488 28,6488 167,5095336 167,3376408 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-05 5,8385 5,8325 28,3551 28,3551 165,55125135 165,38112075 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-07 5,8555 5,8495 28,3308 28,3308 165,8909994 165,7210146 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-10 5,8755 5,8695 28,3752 28,3752 166,7184876 166,5482364 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-11 5,8755 5,8695 28,3141 28,3141 166,35949455 166,18960995 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-12 5,8405 5,8345 28,0477 28,0477 163,81259185 163,64430565 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-13 5,8485 5,8425 28,2302 28,2302 165,1043247 164,9349435 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-14 5,836 5,83 28,4529 28,4529 166,0511244 165,880407 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-17 5,862 5,856 28,5622 28,5622 167,4316164 167,2602432 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-18 5,857 5,851 28,4668 28,4668 166,7300476 166,5592468 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-19 5,847 5,841 28,5253 28,5253 166,7874291 166,6162773 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-20 5,859 5,853 28,4669 28,4669 166,7875671 166,6167657 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-21 5,8545 5,8485 28,4515 28,4515 166,56930675 166,39859775 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-24 5,8665 5,8605 28,4702 28,4702 167,0204283 166,8496071 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-25 5,8755 5,8695 28,521 28,521 167,5751355 167,4040095 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-26 5,8665 5,8605 28,5498 28,5498 167,4874017 167,3161029 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-27 5,8615 5,8555 28,6356 28,6356 167,8475694 167,6757558 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-28 5,8845 5,8785 28,5458 28,5458 167,9777601 167,8064853 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-01-31 5,876 5,87 28,6695 28,6695 168,461982 168,289965 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-01 5,8655 5,8595 28,6959 28,6959 168,31580145 168,14362605 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-02 5,8545 5,8485 28,7524 28,7524 168,3309258 168,1584114 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-03 5,828 5,822 28,8523 28,8523 168,1512044 167,9780906 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-04 5,8325 5,8265 29,0137 29,0137 169,22240525 169,04832305 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-07 5,828 5,822 29,2005 29,2005 170,180514 170,005311 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-08 5,823 5,817 29,2014 29,2014 170,0397522 169,8645438 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-09 5,825 5,819 29,0873 29,0873 169,4335225 169,2589987 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-10 5,8345 5,8285 29,0586 29,0586 169,5424017 169,3680501 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-11 5,848 5,842 29,2376 29,2376 170,9814848 170,8060592 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-14 5,8635 5,8575 29,3307 29,3307 171,98055945 171,80457525 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-15 5,8485 5,8425 29,3625 29,3625 171,72658125 171,55040625 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-16 5,864 5,858 29,1834 29,1834 171,1314576 170,9563572 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-17 5,8805 5,8745 29,2786 29,2786 172,1728073 171,9971357 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-18 5,884 5,878 29,4087 29,4087 173,0407908 172,8643386 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-21 5,907 5,901 29,4354 29,4354 173,8749078 173,6982954 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-22 5,9045 5,8985 29,3388 29,3388 173,2309446 173,0549118 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-23 5,9245 5,9185 29,1136 29,1136 172,4835232 172,3088416 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-24 5,8995 5,8935 29,1418 29,1418 171,9220491 171,7471983 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-25 5,8895 5,8835 29,4544 29,4544 173,4716888 173,2949624 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-02-28 5,8825 5,8765 29,4624 29,4624 173,312568 173,1357936 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-01 5,8955 5,8895 29,5744 29,5744 174,3558752 174,1784288 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-02 5,9 5,894 29,7217 29,7217 175,35803 175,1796998 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-03 5,8745 5,8685 29,7215 29,7215 174,59895175 174,42062275 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-04 5,8395 5,8335 29,872 29,872 174,437544 174,258312 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-07 5,8425 5,8365 29,9229 29,9229 174,82454325 174,64500585 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-08 5,821 5,815 29,7396 29,7396 173,1142116 172,935774 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-09 5,8295 5,8235 29,64 29,64 172,78638 172,60854 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-10 5,8525 5,8465 29,5622 29,5622 173,0127755 172,8354023 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-11 5,863 5,857 29,6674 29,6674 173,9399662 173,7619618 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-14 5,8525 5,8465 29,6524 29,6524 173,540671 173,3627566 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-15 5,8725 5,8665 29,8789 29,8789 175,46384025 175,28456685 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-16 5,872 5,866 29,5682 29,5682 173,6244704 173,4470612 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-17 5,8875 5,8815 29,4846 29,4846 173,5905825 173,4136749 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-18 5,884 5,878 29,3799 29,3799 172,8713316 172,6950522 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-21 5,8845 5,8785 29,4325 29,4325 173,19554625 173,01895125 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-22 5,8835 5,8775 29,4428 29,4428 173,2267138 173,050057 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-23 5,866 5,86 29,4065 29,4065 172,498529 172,32209 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-24 5,8705 5,8645 29,4546 29,4546 172,9132293 172,7365017 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-29 5,8865 5,8805 29,5295 29,5295 173,82540175 173,64822475 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-30 5,89 5,884 29,3566 29,3566 172,910374 172,7342344 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-03-31 5,9005 5,8945 29,3566 29,3566 173,2186183 173,0424787 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-01 5,907 5,901 29,4522 29,4522 173,9741454 173,7974322 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-04 5,908 5,902 29,27 29,27 172,92716 172,75154 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-05 5,903 5,897 29,4016 29,4016 173,5576448 173,3812352 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-06 5,9165 5,9105 29,673 29,673 175,5603045 175,3822665 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-07 5,9045 5,8985 29,7868 29,7868 175,8761606 175,6974398 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-08 5,9055 5,8995 29,7727 29,7727 175,82267985 175,64404365 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-11 5,921 5,915 29,7537 29,7537 176,1716577 175,9931355 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-12 5,9115 5,9055 29,6392 29,6392 175,2121308 175,0342956 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-13 5,912 5,906 29,8333 29,8333 176,3744696 176,1954698 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-14 5,91 5,904 29,8334 29,8334 176,315394 176,1363936 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-15 5,9175 5,9115 29,6288 29,6288 175,328424 175,1506512 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-18 5,9335 5,9275 29,1314 29,1314 172,8511619 172,6763735 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-19 5,954 5,948 29,2525 29,2525 174,169385 173,99387 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-20 5,9545 5,9485 29,085 29,085 173,1866325 173,0121225 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-21 5,9585 5,9525 29,0163 29,0163 172,89362355 172,71952575 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-22 5,9355 5,9295 29,1446 29,1446 172,9877733 172,8129057 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-25 5,9415 5,9355 29,072 29,072 172,731288 172,556856 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-26 5,922 5,916 29,099 29,099 172,324278 172,149684 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-27 5,9275 5,9215 28,6759 28,6759 169,97639725 169,80434185 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-28 5,9365 5,9305 28,6895 28,6895 170,31521675 170,14307975 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-04-29 5,967 5,961 28,7543 28,7543 171,5769081 171,4043823 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-02 5,9745 5,9685 29,0219 29,0219 173,39134155 173,21721015 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-03 5,9855 5,9795 28,9644 28,9644 173,3664162 173,1926298 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-04 5,9595 5,9535 29,2199 29,2199 174,13599405 173,96067465 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-06 5,9265 5,9205 29,4464 29,4464 174,5140896 174,3374112 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-09 5,936 5,93 29,3872 29,3872 174,4424192 174,266096 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-10 5,948 5,942 29,0575 29,0575 172,83401 172,659665 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-11 5,9655 5,9595 29,0926 29,0926 173,5519053 173,3773497 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-12 5,975 5,969 29,2625 29,2625 174,8434375 174,6678625 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-13 5,963 5,957 29,219 29,219 174,232897 174,057583 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-17 5,9795 5,9735 29,2519 29,2519 174,91173605 174,73622465 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-18 5,9705 5,9645 29,4762 29,4762 175,9876521 175,8107949 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-19 5,9545 5,9485 29,5946 29,5946 176,2210457 176,0434781 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-20 5,95 5,944 29,6215 29,6215 176,247925 176,070196 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-23 5,9335 5,9275 29,6861 29,6861 176,14247435 175,96435775 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-24 5,9355 5,9295 29,8739 29,8739 177,31653345 177,13729005 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-25 5,9365 5,9305 29,9313 29,9313 177,68716245 177,50757465 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-26 5,9505 5,9445 30,1093 30,1093 179,16538965 178,98473385 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-27 5,9435 5,9375 30,1643 30,1643 179,28151705 179,10053125 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-30 5,948 5,942 30,2007 30,2007 179,6337636 179,4525594 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-05-31 5,9405 5,9345 30,0782 30,0782 178,6795471 178,4990779 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-01 5,9545 5,9485 30,4753 30,4753 181,46517385 181,28232205 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-02 5,9725 5,9665 30,585 30,585 182,6689125 182,4854025 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-03 5,952 5,946 30,4718 30,4718 181,3681536 181,1853228 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-07 5,9765 5,9705 30,6264 30,6264 183,0386796 182,8549212 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-08 5,972 5,966 30,6526 30,6526 183,0573272 182,8734116 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-09 6 5,994 30,6639 30,6639 183,9834 183,7994166 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-10 6,0005 5,9945 30,7051 30,7051 184,24595255 184,06172195 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-13 6,0095 6,0035 30,8688 30,8688 185,5060536 185,3208408 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-14 6,0395 6,0335 30,8871 30,8871 186,54264045 186,35731785 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-15 6,0305 6,0245 30,844 30,844 186,004742 185,819678 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-16 6,0275 6,0215 30,9349 30,9349 186,46010975 186,27450035 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-17 6,018 6,012 30,9137 30,9137 186,0386466 185,8531644 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-20 5,9755 5,9695 30,7966 30,7966 184,0250833 183,8403037 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-21 6,0145 6,0085 31,0438 31,0438 186,7129351 186,5266723 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-22 6,0125 6,0065 31,0408 31,0408 186,63281 186,4465652 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-27 6,088 6,082 30,5648 30,5648 186,0785024 185,8951136 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-28 6,088 6,082 30,736 30,736 187,120768 186,936352 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-29 6,1025 6,0965 30,9675 30,9675 188,97916875 188,79336375 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-06-30 6,0985 6,0925 30,93 30,93 188,626605 188,441025 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-01 6,088 6,082 31,0031 31,0031 188,7468728 188,5608542 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-04 6,1215 6,1155 31,0377 31,0377 189,99728055 189,81105435 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-05 6,1015 6,0955 31,0092 31,0092 189,2026338 189,0165786 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-06 6,065 6,059 31,1856 31,1856 189,140664 188,9535504 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-07 6,0495 6,0435 30,8776 30,8776 186,7940412 186,6087756 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-08 6,0695 6,0635 31,2303 31,2303 189,55230585 189,36492405 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-11 6,0875 6,0815 31,4392 31,4392 191,38613 191,1974948 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-12 6,0845 6,0785 31,3456 31,3456 190,7223032 190,5342296 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-13 6,0295 6,0235 31,6615 31,6615 190,90301425 190,71304525 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-15 6,0335 6,0275 31,9691 31,9691 192,88556485 192,69375025 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-18 6,0195 6,0135 31,9802 31,9802 192,5048139 192,3129327 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-19 6,041 6,035 32,0482 32,0482 193,6031762 193,410887 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-20 6,0265 6,0205 32,0964 32,0964 193,4289546 193,2363762 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-21 6,0565 6,0505 32,1096 32,1096 194,4717924 194,2791348 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-22 6,0435 6,0375 32,2124 32,2124 194,6756394 194,482365 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-25 6,034 6,028 32,2034 32,2034 194,3153156 194,1220952 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-26 6,033 6,027 32,2822 32,2822 194,7585126 194,5648194 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-27 6,0625 6,0565 32,5396 32,5396 197,271325 197,0760874 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-28 6,043 6,037 32,7133 32,7133 197,6864719 197,4901921 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-07-29 6,0195 6,0135 32,7229 32,7229 196,97549655 196,77915915 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-01 6,0205 6,0145 32,7332 32,7332 197,0702306 196,8738314 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-02 6,0355 6,0295 32,9772 32,9772 199,0338906 198,8360274 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-03 6,0235 6,0175 32,9649 32,9649 198,56407515 198,36628575 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-04 6,0225 6,0165 32,7587 32,7587 197,28927075 197,09271855 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-05 5,9925 5,9865 32,6808 32,6808 195,839694 195,6436092 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-08 5,9815 5,9755 32,7951 32,7951 196,16389065 195,96712005 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-09 6,0055 5,9995 32,776 32,776 196,836268 196,639612 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-10 6,009 6,003 33,0119 33,0119 198,3685071 198,1704357 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-11 6,007 6,001 33,0076 33,0076 198,2766532 198,0786076 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-12 5,991 5,985 32,8398 32,8398 196,7432418 196,546203 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-16 5,9945 5,9885 32,9109 32,9109 197,28439005 197,08692465 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-17 6,026 6,02 32,8014 32,8014 197,6612364 197,464428 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-18 6,04 6,034 32,6235 32,6235 197,04594 196,850199 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-19 6,0375 6,0315 32,7954 32,7954 198,0022275 197,8054551 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-22 6,0385 6,0325 32,7994 32,7994 198,0591769 197,8623805 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-23 6,0305 6,0245 32,5544 32,5544 196,3193092 196,1239828 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-24 6,0035 5,9975 32,3635 32,3635 194,29427225 194,10009125 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-25 6,025 6,019 32,0621 32,0621 193,1741525 192,9817799 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-26 6,044 6,038 31,939 31,939 193,039316 192,847682 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-29 6,0375 6,0315 31,9998 31,9998 193,1987925 193,0067937 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-30 6,021 6,015 32,0093 32,0093 192,7279953 192,5359395 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-08-31 6,041 6,035 32,16 32,16 194,27856 194,0856 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-01 6,036 6,03 32,3327 32,3327 195,1601772 194,966181 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-02 6,036 6,03 32,2499 32,2499 194,6603964 194,466897 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-05 6,024 6,018 32,288 32,288 194,502912 194,309184 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-06 6,042 6,036 32,6135 32,6135 197,050767 196,855086 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-07 6,0325 6,0265 32,9723 32,9723 198,90539975 198,70756595 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-08 6,048 6,042 32,8916 32,8916 198,9283968 198,7310472 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-09 6,0625 6,0565 33,0011 33,0011 200,06916875 199,87116215 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-12 6,024 6,018 33,1399 33,1399 199,6347576 199,4359182 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-13 6,02 6,014 32,9629 32,9629 198,436658 198,2388806 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-14 6,0365 6,0305 33,0719 33,0719 199,63852435 199,44009295 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-15 6,0485 6,0425 33,167 33,167 200,6105995 200,4115975 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-16 6,028 6,022 33,4371 33,4371 201,5588388 201,3582162 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-19 6,024 6,018 33,387 33,387 201,123288 200,922966 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-20 6,0185 6,0125 33,5743 33,5743 202,06692455 201,86547875 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-21 6,022 6,016 33,2127 33,2127 200,0068794 199,8076032 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-22 6,018 6,012 33,0136 33,0136 198,6758448 198,4777632 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-23 6,03 6,024 33,2545 33,2545 200,524635 200,325108 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-26 6,028 6,022 33,5713 33,5713 202,3677964 202,1663686 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-27 6,032 6,026 33,5189 33,5189 202,1860048 201,9848914 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-28 6,0405 6,0345 33,7334 33,7334 203,7666027 203,5642023 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-29 6,028 6,022 33,5878 33,5878 202,4672584 202,2657316 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-09-30 6,0005 5,9945 33,8205 33,8205 202,93991025 202,73698725 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-03 5,9875 5,9815 34,1913 34,1913 204,72040875 204,51526095 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-04 6,0075 6,0015 34,3602 34,3602 206,4189015 206,2127403 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-05 6,004 5,998 34,1727 34,1727 205,1728908 204,9678546 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-06 6,015 6,009 33,7797 33,7797 203,1848955 202,9822173 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-07 6,0285 6,0225 33,6822 33,6822 203,0531427 202,8510495 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-10 6,0325 6,0265 33,757 33,757 203,6391025 203,4365605 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-11 6,0365 6,0305 33,8061 33,8061 204,07052265 203,86768605 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-12 6,0345 6,0285 33,5941 33,5941 202,72359645 202,52203185 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-13 6,062 6,056 33,2363 33,2363 201,4784506 201,2790328 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-14 6,075 6,069 33,2661 33,2661 202,0915575 201,8919609 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-17 6,1005 6,0945 33,3666 33,3666 203,5529433 203,3527437 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-18 6,088 6,082 33,4397 33,4397 203,5808936 203,3802554 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-19 6,0955 6,0895 32,8097 32,8097 199,99152635 199,79466815 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-20 6,1155 6,1095 33,0565 33,0565 202,15702575 201,95868675 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-21 6,1385 6,1325 32,9141 32,9141 202,04320285 201,84571825 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-24 6,185 6,179 33,2555 33,2555 205,6852675 205,4857345 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-25 6,1845 6,1785 33,3418 33,3418 206,2023621 206,0023113 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-26 6,1495 6,1435 33,5099 33,5099 206,06913005 205,86807065 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-27 6,162 6,156 33,1994 33,1994 204,5747028 204,3755064 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-28 6,1555 6,1495 33,0319 33,0319 203,32786045 203,12966905 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-10-31 6,1805 6,1745 33,9992 33,9992 210,1320556 209,9280604 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-02 6,1995 6,1935 34,1307 34,1307 211,59327465 211,38849045 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-03 6,2555 6,2495 34,5888 34,5888 216,3702384 216,1627056 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-04 6,213 6,207 34,5584 34,5584 214,7113392 214,5039888 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-07 6,2235 6,2175 34,8075 34,8075 216,62447625 216,41563125 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-08 6,2045 6,1985 34,8587 34,8587 216,28080415 216,07165195 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-09 6,1965 6,1905 34,825 34,825 215,7931125 215,5841625 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-10 6,237 6,231 34,9649 34,9649 218,0760813 217,8662919 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-14 6,207 6,201 35,2047 35,2047 218,5155729 218,3043447 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-15 6,2165 6,2105 35,2432 35,2432 219,0893528 218,8778936 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-16 6,2315 6,2255 35,0137 35,0137 218,18787155 217,97778935 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-17 6,231 6,225 35,3941 35,3941 220,5406371 220,3282725 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-18 6,206 6,2 35,9882 35,9882 223,3427692 223,12684 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-21 6,1925 6,1865 36,076 36,076 223,40063 223,184174 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-22 6,1795 6,1735 36,117 36,117 223,1850015 222,9682995 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-23 6,143 6,137 36,2795 36,2795 222,8649685 222,6472915 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-24 6,1375 6,1315 36,1908 36,1908 222,121035 221,9038902 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-25 6,1255 6,1195 36,3576 36,3576 222,7084788 222,4903332 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-28 6,133 6,127 36,0469 36,0469 221,0756377 220,8593563 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-29 6,1265 6,1205 36,1415 36,1415 221,42089975 221,20405075 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-11-30 6,1535 6,1475 36,0365 36,0365 221,75060275 221,53438375 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-01 6,1535 6,1475 36,5595 36,5595 224,96888325 224,74952625 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-02 6,1445 6,1385 36,7959 36,7959 226,09240755 225,87163215 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-05 6,0915 6,0855 36,8534 36,8534 224,4924861 224,2713657 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-06 6,1145 6,1085 36,8452 36,8452 225,2899754 225,0689042 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-07 6,119 6,113 36,7512 36,7512 224,8805928 224,6600856 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-08 6,108 6,102 36,6513 36,6513 223,8661404 223,6462326 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-12 6,132 6,126 36,717 36,717 225,148644 224,928342 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-13 6,1175 6,1115 36,733 36,733 224,7141275 224,4937295 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-14 6,113 6,107 36,5098 36,5098 223,1844074 222,9653486 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-15 6,1225 6,1165 36,3335 36,3335 222,45185375 222,23385275 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-16 6,1425 6,1365 36,4927 36,4927 224,15640975 223,93745355 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-19 6,0955 6,0895 36,6235 36,6235 223,23854425 223,01880325 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-20 6,0575 6,0515 36,6533 36,6533 222,02736475 221,80744495 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-21 6,088 6,082 36,9013 36,9013 224,6551144 224,4337066 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-22 6,0705 6,0645 36,8115 36,8115 223,46421075 223,24334175 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-23 6,0645 6,0585 36,7316 36,7316 222,7587882 222,5383986 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-27 6,0995 6,0935 36,9715 36,9715 225,50766425 225,28583525 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-28 6,0585 6,0525 36,9985 36,9985 224,15541225 223,93342125 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-29 6,0405 6,0345 37,2139 37,2139 224,79056295 224,56727955 834192 SG Asset Management S.A. SGAM Fund Equities Switzerland CHF 2005-12-30 6,061 6,055 37,0572 37,0572 224,6036892 224,381346 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-03 12,7425 12,7275 13,6212 13,6212 173,568141 173,363823 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-04 12,8005 12,7855 13,7709 13,7709 176,27440545 176,06784195 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-05 12,8355 12,8205 13,6698 13,6698 175,4587179 175,2536709 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-07 12,8955 12,8805 13,872 13,872 178,886376 178,678296 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-10 13,03576 13,02076 13,8827 13,8827 180,971545352 180,763304852 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-11 13,03576 13,02076 13,8262 13,8262 180,235024912 180,027631912 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-12 12,9275 12,9125 13,7705 13,7705 178,01813875 177,81158125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-13 12,9275 12,9125 13,8076 13,8076 178,497749 178,290635 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-14 12,9175 12,9025 13,8388 13,8388 178,762699 178,555117 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-17 12,9455 12,9305 13,911 13,911 180,0848505 179,8761855 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-18 12,9175 12,9025 13,8488 13,8488 178,891874 178,684142 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-19 12,9275 12,9125 13,8528 13,8528 179,082072 178,87428 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-20 12,9955 12,9805 13,8075 13,8075 179,43536625 179,22825375 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-21 13,0555 13,0405 13,7961 13,7961 180,11498355 179,90804205 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-24 13,0525 13,0375 13,8218 13,8218 180,4090445 180,2017175 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-25 13,0575 13,0425 13,9166 13,9166 181,7160045 181,5072555 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-26 13,0755 13,0605 13,9889 13,9889 182,91186195 182,70202845 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-27 13,0475 13,0325 13,9653 13,9653 182,21225175 182,00277225 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-28 13,1705 13,1555 13,9626 13,9626 183,8944233 183,6849843 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-01-31 13,1875 13,1725 14,0729 14,0729 185,58636875 185,37527525 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-01 13,1555 13,1405 14,2063 14,2063 186,89097965 186,67788515 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-02 13,1025 13,0875 14,234 14,234 186,500985 186,287475 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-03 13,1225 13,1075 14,2223 14,2223 186,63213175 186,41879725 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-04 13,1855 13,1705 14,3106 14,3106 188,6924163 188,4777573 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-07 13,2305 13,2155 14,3992 14,3992 190,5086156 190,2926276 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-08 13,2175 13,2025 14,4312 14,4312 190,744386 190,527918 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-09 13,1775 13,1625 14,4773 14,4773 190,77462075 190,55746125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-10 13,1855 13,1705 14,5643 14,5643 192,03757765 191,81911315 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-11 13,2155 13,2005 14,6491 14,6491 193,59518105 193,37544455 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-14 13,2175 13,2025 14,6396 14,6396 193,498913 193,279319 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-15 13,2175 13,2025 14,6688 14,6688 193,884864 193,664832 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-16 13,1905 13,1755 14,5975 14,5975 192,54832375 192,32936125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-17 13,1605 13,1455 14,5852 14,5852 191,9485246 191,7297466 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-18 13,2005 13,1855 14,5967 14,5967 192,68373835 192,46478785 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-21 13,2475 13,2325 14,6198 14,6198 193,6758005 193,4565035 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-22 13,1575 13,1425 14,4941 14,4941 190,70612075 190,48870925 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-23 13,1405 13,1255 14,3711 14,3711 188,84343955 188,62787305 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-24 13,0725 13,0575 14,3309 14,3309 187,34069025 187,12572675 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-25 13,1575 13,1425 14,4165 14,4165 189,68509875 189,46885125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-02-28 13,1325 13,1175 14,3647 14,3647 188,64442275 188,42895225 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-01 13,1855 13,1705 14,4609 14,4609 190,67419695 190,45728345 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-02 13,2105 13,1955 14,4754 14,4754 191,2272717 191,0101407 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-03 13,1875 13,1725 14,5588 14,5588 191,994175 191,775793 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-04 13,1505 13,1355 14,5872 14,5872 191,8289736 191,6101656 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-07 13,1305 13,1155 14,5821 14,5821 191,47026405 191,25153255 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-08 13,0925 13,0775 14,5789 14,5789 190,87424825 190,65556475 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-09 13,0505 13,0355 14,5784 14,5784 190,2554092 190,0367332 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-10 13,0175 13,0025 14,4792 14,4792 188,482986 188,265798 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-11 12,9975 12,9825 14,5472 14,5472 189,077232 188,859024 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-14 12,9805 12,9655 14,5337 14,5337 188,65469285 188,43668735 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-15 13,0475 13,0325 14,5307 14,5307 189,58930825 189,37134775 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-16 13,0825 13,0675 14,4188 14,4188 188,633951 188,417669 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-17 13,0825 13,0675 14,3935 14,3935 188,30296375 188,08706125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-18 13,0955 13,0805 14,3796 14,3796 188,3080518 188,0923578 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-21 13,1805 13,1655 14,4066 14,4066 189,8861913 189,6700923 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-22 13,1605 13,1455 14,3492 14,3492 188,8426466 188,6274086 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-23 13,1455 13,1305 14,2376 14,2376 187,1603708 186,9468068 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-24 13,1205 13,1055 14,2946 14,2946 187,5522993 187,3378803 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-29 13,2125 13,1975 14,2681 14,2681 188,51727125 188,30324975 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-30 13,2575 13,2425 14,1958 14,1958 188,2008185 187,9878815 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-03-31 13,2725 13,2575 14,1958 14,1958 188,4137555 188,2008185 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-01 13,3525 13,3375 14,2878 14,2878 190,7778495 190,5635325 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-04 13,3575 13,3425 14,1859 14,1859 189,48815925 189,27537075 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-05 13,4255 13,4105 14,2683 14,2683 191,55906165 191,34503715 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-06 13,4155 13,4005 14,2952 14,2952 191,7772556 191,5628276 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-07 13,3375 13,3225 14,3611 14,3611 191,54117125 191,32575475 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-08 13,3655 13,3505 14,3906 14,3906 192,3375643 192,1217053 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-11 13,3755 13,3605 14,397 14,397 192,5670735 192,3511185 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-12 13,3375 13,3225 14,3138 14,3138 190,9103075 190,6956005 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-13 13,3955 13,3805 14,3751 14,3751 192,56165205 192,34602555 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-14 13,4505 13,4355 14,3058 14,3058 192,4201629 192,2055759 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-15 13,4925 13,4775 14,1288 14,1288 190,632834 190,420902 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-18 13,4225 13,4075 13,8566 13,8566 185,9902135 185,7823645 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-19 13,4855 13,4705 13,9721 13,9721 188,42075455 188,21117305 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-20 13,5005 13,4855 13,9066 13,9066 187,7460533 187,5374543 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-21 13,4575 13,4425 13,903 13,903 187,0996225 186,8910775 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-22 13,4125 13,3975 13,9854 13,9854 187,5791775 187,3693965 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-25 13,4775 13,4625 13,9585 13,9585 188,12568375 187,91630625 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-26 13,4225 13,4075 13,8799 13,8799 186,30295775 186,09475925 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-27 13,4605 13,4455 13,6762 13,6762 184,0884901 183,8833471 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-28 13,4755 13,4605 13,5559 13,5559 182,67253045 182,46919195 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-04-29 13,5405 13,5255 13,5377 13,5377 183,30722685 183,10416135 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-02 13,6205 13,6055 13,5363 13,5363 184,37117415 184,16812965 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-03 13,5955 13,5805 13,6248 13,6248 185,2359684 185,0315964 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-04 13,4925 13,4775 13,6685 13,6685 184,42223625 184,21720875 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-06 13,4375 13,4225 13,6483 13,6483 183,39903125 183,19430675 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-09 13,5205 13,5055 13,6175 13,6175 184,11540875 183,91114625 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-10 13,4755 13,4605 13,5222 13,5222 182,2184061 182,0155731 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-11 13,4805 13,4655 13,5644 13,5644 182,8548942 182,6514282 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-12 13,4955 13,4805 13,6422 13,6422 184,1083101 183,9036771 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-13 13,5205 13,5055 13,6566 13,6566 184,6440603 184,4392113 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-17 13,4375 13,4225 13,703 13,703 184,1340625 183,9285175 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-18 13,3805 13,3655 13,7423 13,7423 183,87884515 183,67271065 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-19 13,3505 13,3355 13,8141 13,8141 184,42514205 184,21793055 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-20 13,3655 13,3505 13,8792 13,8792 185,5024476 185,2942596 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-23 13,3775 13,3625 13,9339 13,9339 186,40074725 186,19173875 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-24 13,3605 13,3455 13,8839 13,8839 185,49584595 185,28758745 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-25 13,3405 13,3255 13,9075 13,9075 185,53300375 185,32439125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-26 13,3655 13,3505 14,0126 14,0126 187,2854053 187,0752163 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-27 13,3855 13,3705 14,1057 14,1057 188,81184735 188,60026185 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-30 13,3875 13,3725 14,105 14,105 188,8306875 188,6191125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-05-31 13,4475 13,4325 14,0821 14,0821 189,36903975 189,15780825 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-01 13,5155 13,5005 14,1744 14,1744 191,5741032 191,3614872 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-02 13,5755 13,5605 14,1835 14,1835 192,54810425 192,33535175 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-03 13,5255 13,5105 14,2051 14,2051 192,13108005 191,91800355 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-07 13,6225 13,6075 14,2572 14,2572 194,218707 194,004849 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-08 13,6505 13,6355 14,2657 14,2657 194,73393785 194,51995235 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-09 13,7225 13,7075 14,285 14,285 196,0259125 195,8116375 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-10 13,6925 13,6775 14,3436 14,3436 196,399743 196,184589 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-13 13,8305 13,8155 14,3795 14,3795 198,87567475 198,65998225 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-14 13,8625 13,8475 14,3756 14,3756 199,281755 199,066121 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-15 13,9175 13,9025 14,3608 14,3608 199,866434 199,651022 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-16 13,9605 13,9455 14,4351 14,4351 201,52121355 201,30468705 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-17 13,9355 13,9205 14,5349 14,5349 202,55109895 202,33307545 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-20 13,7705 13,7555 14,4728 14,4728 199,2976924 199,0806004 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-21 13,9325 13,9175 14,4699 14,4699 201,60188175 201,38483325 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-22 13,9175 13,9025 14,6411 14,6411 203,76750925 203,54789275 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-27 14,1125 14,0975 14,4777 14,4777 204,31654125 204,09937575 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-28 14,1355 14,1205 14,5564 14,5564 205,7619922 205,5436462 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-29 14,2175 14,2025 14,5989 14,5989 207,55986075 207,34087725 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-06-30 14,1205 14,1055 14,6471 14,6471 206,82437555 206,60466905 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-01 13,9625 13,9475 14,7397 14,7397 205,80306125 205,58196575 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-04 14,0055 13,9905 14,8161 14,8161 207,50688855 207,28464705 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-05 13,9575 13,9425 14,8363 14,8363 207,07765725 206,85511275 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-06 13,8755 13,8605 14,9481 14,9481 207,41236155 207,18814005 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-07 13,7955 13,7805 14,7536 14,7536 203,5332888 203,3119848 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-08 13,7455 13,7305 14,9953 14,9953 206,11789615 205,89296665 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-11 13,7425 13,7275 15,107 15,107 207,6079475 207,3813425 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-12 13,7325 13,7175 15,0776 15,0776 207,053142 206,826978 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-13 13,6455 13,6305 15,1952 15,1952 207,3461016 207,1181736 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-15 13,6805 13,6655 15,2159 15,2159 208,16111995 207,93288145 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-18 13,6225 13,6075 15,177 15,177 206,7486825 206,5210275 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-19 13,7025 13,6875 15,1518 15,1518 207,6175395 207,3902625 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-20 13,5825 13,5675 15,179 15,179 206,1687675 205,9410825 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-21 13,5825 13,5675 15,139 15,139 205,6254675 205,3983825 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-22 13,6105 13,5955 15,1982 15,1982 206,8551011 206,6271281 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-25 13,5875 13,5725 15,2558 15,2558 207,2881825 207,0593455 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-26 13,6305 13,6155 15,2518 15,2518 207,8896599 207,6608829 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-27 13,7055 13,6905 15,3519 15,3519 210,40546545 210,17518695 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-28 13,6655 13,6505 15,399 15,399 210,4350345 210,2040495 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-07-29 13,5975 13,5825 15,416 15,416 209,61906 209,38782 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-01 13,6055 13,5905 15,4323 15,4323 209,96415765 209,73267315 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-02 13,6355 13,6205 15,5321 15,5321 211,78794955 211,55496805 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-03 13,6005 13,5855 15,4852 15,4852 210,6064626 210,3741846 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-04 13,5175 13,5025 15,4468 15,4468 208,802119 208,570417 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-05 13,4275 13,4125 15,4476 15,4476 207,422649 207,190935 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-08 13,4375 13,4225 15,5005 15,5005 208,28796875 208,05546125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-09 13,4755 13,4605 15,5245 15,5245 209,20039975 208,96753225 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-10 13,5305 13,5155 15,5995 15,5995 211,06903475 210,83504225 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-11 13,5455 13,5305 15,5392 15,5392 210,4862336 210,2531456 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-12 13,5225 13,5075 15,5742 15,5742 210,6021195 210,3685065 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-16 13,6355 13,6205 15,5763 15,5763 212,39063865 212,15699415 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-17 13,7125 13,6975 15,5449 15,5449 213,15944125 212,92626775 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-18 13,7405 13,7255 15,4927 15,4927 212,87744435 212,64505385 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-19 13,7775 13,7625 15,6124 15,6124 215,099841 214,865655 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-22 13,8405 13,8255 15,6087 15,6087 216,03221235 215,79808185 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-23 13,7805 13,7655 15,5694 15,5694 214,5541167 214,3205757 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-24 13,7555 13,7405 15,5278 15,5278 213,5926529 213,3597359 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-25 13,7055 13,6905 15,5044 15,5044 212,4955542 212,2629882 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-26 13,6875 13,6725 15,4699 15,4699 211,74425625 211,51220775 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-29 13,6775 13,6625 15,4689 15,4689 211,57587975 211,34384625 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-30 13,6825 13,6675 15,5286 15,5286 212,4700695 212,2371405 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-08-31 13,6805 13,6655 15,6285 15,6285 213,80569425 213,57126675 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-01 13,6375 13,6225 15,6797 15,6797 213,83190875 213,59671325 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-02 13,6475 13,6325 15,663 15,663 213,7607925 213,5258475 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-05 13,6855 13,6705 15,684 15,684 214,643382 214,408122 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-06 13,7625 13,7475 15,6221 15,6221 214,99915125 214,76481975 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-07 13,7105 13,6955 15,6783 15,6783 214,95733215 214,72215765 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-08 13,7855 13,7705 15,6561 15,6561 215,82716655 215,59232505 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-09 13,8275 13,8125 15,6991 15,6991 217,07930525 216,84381875 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-12 13,8055 13,7905 15,7084 15,7084 216,8623162 216,6266902 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-13 13,7805 13,7655 15,5359 15,5359 214,09246995 213,85943145 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-14 13,8805 13,8655 15,5488 15,5488 215,8251184 215,5918864 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-15 13,8955 13,8805 15,6102 15,6102 216,9115341 216,6773811 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-16 13,7905 13,7755 15,6447 15,6447 215,74823535 215,51356485 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-19 13,8555 13,8405 15,6644 15,6644 217,0380942 216,8031282 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-20 13,8775 13,8625 15,6262 15,6262 216,8525905 216,6181975 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-21 13,8375 13,8225 15,4911 15,4911 214,35809625 214,12572975 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-22 13,8355 13,8205 15,4314 15,4314 213,5011347 213,2696637 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-23 13,8055 13,7905 15,4962 15,4962 213,9327891 213,7003461 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-26 13,8325 13,8175 15,5759 15,5759 215,45363675 215,21999825 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-27 13,8205 13,8055 15,5551 15,5551 214,97925955 214,74593305 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-28 13,8275 13,8125 15,657 15,657 216,4971675 216,2623125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-29 13,7475 13,7325 15,6061 15,6061 214,54485975 214,31076825 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-09-30 13,6775 13,6625 15,575 15,575 213,0270625 212,7934375 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-03 13,6775 13,6625 15,6081 15,6081 213,47978775 213,24566625 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-04 13,7375 13,7225 15,6353 15,6353 214,78993375 214,55540425 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-05 13,7405 13,7255 15,4745 15,4745 212,62736725 212,39524975 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-06 13,6705 13,6555 15,3538 15,3538 209,8941229 209,6638159 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-07 13,5955 13,5805 15,3131 15,3131 208,18925105 207,95955455 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-10 13,5675 13,5525 15,3057 15,3057 207,66008475 207,43049925 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-11 13,5855 13,5705 15,3039 15,3039 207,91113345 207,68157495 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-12 13,5955 13,5805 15,2538 15,2538 207,3830379 207,1542309 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-13 13,6675 13,6525 15,023 15,023 205,3268525 205,1015075 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-14 13,7555 13,7405 15,076 15,076 207,377918 207,151778 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-17 13,8475 13,8325 15,0821 15,0821 208,84937975 208,62314825 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-18 13,8225 13,8075 15,0296 15,0296 207,746646 207,521202 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-19 13,8975 13,8825 14,7299 14,7299 204,70878525 204,48783675 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-20 13,9905 13,9755 14,7823 14,7823 206,81176815 206,59003365 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-21 14,0025 13,9875 14,8047 14,8047 207,30281175 207,08074125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-24 14,1375 14,1225 14,9722 14,9722 211,6694775 211,4448945 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-25 14,1225 14,1075 14,9396 14,9396 210,984501 210,760407 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-26 13,9955 13,9805 15,0659 15,0659 210,85480345 210,62881495 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-27 14,0405 14,0255 14,9227 14,9227 209,52216935 209,29832885 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-28 13,9655 13,9505 14,9291 14,9291 208,49234605 208,26840955 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-10-31 14,0725 14,0575 15,2565 15,2565 214,69709625 214,46824875 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-02 14,0775 14,0625 15,3426 15,3426 215,9854515 215,7553125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-03 14,2125 14,1975 15,5187 15,5187 220,55952375 220,32674325 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-04 14,1905 14,1755 15,4743 15,4743 219,58805415 219,35593965 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-07 14,2275 14,2125 15,5498 15,5498 221,2347795 221,0015325 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-08 14,1725 14,1575 15,5765 15,5765 220,75794625 220,52429875 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-09 14,1525 14,1375 15,556 15,556 220,15629 219,92295 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-10 14,2425 14,2275 15,5691 15,5691 221,74290675 221,50937025 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-14 14,1905 14,1755 15,6529 15,6529 222,12247745 221,88768395 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-15 14,2325 14,2175 15,5155 15,5155 220,82435375 220,59162125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-16 14,2475 14,2325 15,4624 15,4624 220,300544 220,068608 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-17 14,1855 14,1705 15,5145 15,5145 220,08093975 219,84822225 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-18 14,0775 14,0625 15,6089 15,6089 219,73428975 219,50015625 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-21 13,9755 13,9605 15,6184 15,6184 218,2749492 218,0406732 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-22 13,9775 13,9625 15,7039 15,7039 219,50126225 219,26570375 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-23 13,8705 13,8555 15,8059 15,8059 219,23573595 218,99864745 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-24 13,8725 13,8575 15,718 15,718 218,047955 217,812185 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-25 13,8775 13,8625 15,7561 15,7561 218,65527775 218,41893625 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-28 13,8505 13,8355 15,6993 15,6993 217,44315465 217,20766515 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-29 13,8325 13,8175 15,7435 15,7435 217,77196375 217,53581125 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-11-30 13,9255 13,9105 15,6463 15,6463 217,88255065 217,64785615 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-01 13,9955 13,9805 15,7654 15,7654 220,6446557 220,4081747 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-02 14,0055 13,9905 15,8722 15,8722 222,2980971 222,0600141 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-05 13,9175 13,9025 15,8562 15,8562 220,6786635 220,4408205 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-06 13,9455 13,9305 15,9091 15,9091 221,86035405 221,62171755 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-07 13,9105 13,8955 15,9745 15,9745 222,21328225 221,97366475 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-08 13,8955 13,8805 15,9913 15,9913 222,20710915 221,96723965 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-12 14,0125 13,9975 15,9537 15,9537 223,55122125 223,31191575 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-13 14,0075 13,9925 15,9361 15,9361 223,22492075 222,98587925 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-14 13,9555 13,9405 15,9344 15,9344 222,3725192 222,1335032 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-15 13,9105 13,8955 15,9473 15,9473 221,83491665 221,59570715 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-16 13,9755 13,9605 16,0485 16,0485 224,28581175 224,04508425 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-19 13,9125 13,8975 16,0762 16,0762 223,6601325 223,4189895 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-20 13,8225 13,8075 16,0951 16,0951 222,47451975 222,23309325 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-21 13,9605 13,9455 16,1765 16,1765 225,83202825 225,58938075 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-22 13,8975 13,8825 16,2107 16,2107 225,28820325 225,04504275 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-23 13,8255 13,8105 16,2296 16,2296 224,3823348 224,1388908 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-27 13,8855 13,8705 16,2288 16,2288 225,3450024 225,1015704 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-28 13,7705 13,7555 16,2659 16,2659 223,98957595 223,74558745 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-29 13,6655 13,6505 16,3087 16,3087 222,86653985 222,62190935 798363 SG Asset Management S.A. SGAM Fund Equities UK GBP 2005-12-30 13,7405 13,7255 16,2843 16,2843 223,75442415 223,51015965 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-03 6,668 6,658 25,4027 25,4027 169,3852036 169,1311766 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-04 6,728 6,718 24,8666 24,8666 167,3024848 167,0538188 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-05 6,828 6,818 24,7757 24,7757 169,1684796 168,9207226 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-07 6,87 6,86 24,668 24,668 169,46916 169,22248 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-10 6,96091 6,95091 24,6264 24,6264 171,422154024 171,175890024 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-11 6,96091 6,95091 24,4866 24,4866 170,449018806 170,204152806 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-12 6,913 6,903 24,5945 24,5945 170,0217785 169,7758335 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-13 6,843 6,833 24,3327 24,3327 166,5086661 166,2653391 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-14 6,915 6,905 24,6655 24,6655 170,5619325 170,3152775 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-17 6,915 6,905 24,6645 24,6645 170,5550175 170,3083725 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-18 6,968 6,958 25,0148 25,0148 174,3031264 174,0529784 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-19 6,91 6,9 24,6019 24,6019 169,999129 169,75311 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-20 6,96 6,95 23,8952 23,8952 166,310592 166,07164 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-21 6,978 6,968 23,671 23,671 165,176238 164,939528 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-24 6,933 6,923 23,2565 23,2565 161,2373145 161,0047495 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-25 6,95 6,94 23,2496 23,2496 161,58472 161,352224 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-26 6,995 6,985 23,6976 23,6976 165,764712 165,527736 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-27 6,93 6,92 23,6058 23,6058 163,588194 163,352136 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-28 6,985 6,975 23,4787 23,4787 163,9987195 163,7639325 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-01-31 6,998 6,988 23,7821 23,7821 166,4271358 166,1893148 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-01 6,993 6,983 23,7935 23,7935 166,3879455 166,1500105 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-02 6,953 6,943 23,7422 23,7422 165,0795166 164,8420946 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-03 6,968 6,958 23,2612 23,2612 162,0840416 161,8514296 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-04 7,01 7 23,5911 23,5911 165,373611 165,1377 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-07 7,065 7,055 23,5034 23,5034 166,051521 165,816487 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-08 7,123 7,113 23,5212 23,5212 167,5415076 167,3062956 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-09 7,1 7,09 23,1575 23,1575 164,41825 164,186675 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-10 7,088 7,078 23,1839 23,1839 164,3274832 164,0956442 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-11 7,068 7,058 23,5493 23,5493 166,4464524 166,2109594 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-14 7,03 7,02 23,7381 23,7381 166,878843 166,641462 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-15 7,005 6,995 23,8988 23,8988 167,411094 167,172106 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-16 6,973 6,963 23,725 23,725 165,434425 165,197175 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-17 6,97 6,96 23,5313 23,5313 164,013161 163,777848 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-18 6,965 6,955 23,3859 23,3859 162,8827935 162,6489345 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-21 6,978 6,968 23,3845 23,3845 163,177041 162,943196 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-22 6,905 6,895 23,0593 23,0593 159,2244665 158,9938735 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-23 6,895 6,885 22,9462 22,9462 158,214049 157,984587 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-24 6,858 6,848 23,1664 23,1664 158,8751712 158,6435072 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-25 6,885 6,875 23,2939 23,2939 160,3785015 160,1455625 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-02-28 6,828 6,818 23,3797 23,3797 159,6365916 159,4027946 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-01 6,87 6,86 23,5057 23,5057 161,484159 161,249102 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-02 6,888 6,878 23,5204 23,5204 162,0085152 161,7733112 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-03 6,903 6,893 23,4157 23,4157 161,6385771 161,4044201 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-04 6,9 6,89 23,5916 23,5916 162,78204 162,546124 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-07 6,84 6,83 23,8913 23,8913 163,416492 163,177579 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-08 6,825 6,815 23,6593 23,6593 161,4747225 161,2381295 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-09 6,76 6,75 23,4698 23,4698 158,655848 158,42115 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-10 6,745 6,735 23,3401 23,3401 157,4289745 157,1955735 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-11 6,765 6,755 23,0013 23,0013 155,6037945 155,3737815 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-14 6,76 6,75 23,2709 23,2709 157,311284 157,078575 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-15 6,815 6,805 23,1306 23,1306 157,635039 157,403733 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-16 6,81 6,8 22,9133 22,9133 156,039573 155,81044 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-17 6,795 6,785 22,8757 22,8757 155,4403815 155,2116245 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-18 6,828 6,818 22,8247 22,8247 155,8470516 155,6188046 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-21 6,908 6,898 22,8681 22,8681 157,9728348 157,7441538 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-22 6,928 6,918 22,4058 22,4058 155,2273824 155,0033244 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-23 6,973 6,963 22,5931 22,5931 157,5416863 157,3157553 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-24 7,008 6,998 22,7254 22,7254 159,2596032 159,0323492 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-29 7,055 7,045 22,5794 22,5794 159,297667 159,071873 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-30 7,053 7,043 23,0967 23,0967 162,9010251 162,6700581 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-03-31 7,065 7,055 23,0967 23,0967 163,1781855 162,9472185 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-01 7,07 7,06 22,7343 22,7343 160,731501 160,504158 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-04 7,113 7,103 22,9508 22,9508 163,2490404 163,0195324 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-05 7,163 7,153 23,0465 23,0465 165,0820795 164,8516145 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-06 7,125 7,115 22,9468 22,9468 163,49595 163,266482 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-07 7,083 7,073 23,0683 23,0683 163,3927689 163,1620859 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-08 7,153 7,143 22,7555 22,7555 162,7700915 162,5425365 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-11 7,098 7,088 22,6248 22,6248 160,5908304 160,3645824 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-12 7,048 7,038 22,7605 22,7605 160,416004 160,188399 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-13 7,075 7,065 22,3225 22,3225 157,9316875 157,7084625 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-14 7,12 7,11 22,1706 22,1706 157,854672 157,632966 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-15 7,17 7,16 21,9476 21,9476 157,364292 157,144816 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-18 7,08 7,07 21,9759 21,9759 155,589372 155,369613 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-19 7,068 7,058 22,1535 22,1535 156,580938 156,359403 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-20 7,043 7,033 22,0817 22,0817 155,5214131 155,3005961 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-21 7,025 7,015 22,5807 22,5807 158,6294175 158,4036105 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-22 7,023 7,013 22,1384 22,1384 155,4779832 155,2565992 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-25 7,04 7,03 22,429 22,429 157,90016 157,67587 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-26 7,035 7,025 22,213 22,213 156,268455 156,046325 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-27 7,085 7,075 22,2916 22,2916 157,935986 157,71307 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-28 7,085 7,075 22,1531 22,1531 156,9547135 156,7331825 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-04-29 7,08 7,07 22,2904 22,2904 157,816032 157,593128 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-02 7,15 7,14 22,3453 22,3453 159,768895 159,545442 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-03 7,178 7,168 22,4351 22,4351 161,0391478 160,8147968 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-04 7,11 7,1 22,7612 22,7612 161,832132 161,60452 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-06 7,085 7,075 22,8929 22,8929 162,1961965 161,9672675 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-09 7,168 7,158 22,9534 22,9534 164,5299712 164,3004372 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-10 7,178 7,168 22,7362 22,7362 163,2004436 162,9730816 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-11 7,15 7,14 22,8994 22,8994 163,73071 163,501716 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-12 7,243 7,233 22,8436 22,8436 165,4561948 165,2277588 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-13 7,265 7,255 23,23 23,23 168,76595 168,53365 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-17 7,313 7,303 23,4334 23,4334 171,3684542 171,1341202 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-18 7,3 7,29 23,6219 23,6219 172,43987 172,203651 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-19 7,26 7,25 23,8122 23,8122 172,876572 172,63845 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-20 7,28 7,27 23,9421 23,9421 174,298488 174,059067 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-23 7,32 7,31 24,1266 24,1266 176,606712 176,365446 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-24 7,295 7,285 24,138 24,138 176,08671 175,84533 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-25 7,298 7,288 23,973 23,973 174,954954 174,715224 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-26 7,33 7,32 24,1957 24,1957 177,354481 177,112524 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-27 7,338 7,328 24,2421 24,2421 177,8885298 177,6461088 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-30 7,338 7,328 24,2407 24,2407 177,8782566 177,6358496 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-05-31 7,403 7,393 24,2378 24,2378 179,4324334 179,1900554 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-01 7,428 7,418 24,6258 24,6258 182,9204424 182,6741844 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-02 7,473 7,463 24,7487 24,7487 184,9470351 184,6995481 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-03 7,438 7,428 24,397 24,397 181,464886 181,220916 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-07 7,448 7,438 24,3618 24,3618 181,4466864 181,2030684 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-08 7,435 7,425 24,1405 24,1405 179,4846175 179,2432125 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-09 7,523 7,513 24,3643 24,3643 183,2926289 183,0489859 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-10 7,525 7,515 24,1373 24,1373 181,6331825 181,3918095 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-13 7,643 7,633 24,3323 24,3323 185,9717689 185,7284459 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-14 7,663 7,653 24,3231 24,3231 186,3879153 186,1446843 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-15 7,693 7,683 24,3319 24,3319 187,1853067 186,9419877 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-16 7,678 7,668 24,4566 24,4566 187,7777748 187,5332088 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-17 7,643 7,633 24,4337 24,4337 186,7467691 186,5024321 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-20 7,543 7,533 24,4688 24,4688 184,5681584 184,3234704 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-21 7,648 7,638 24,4237 24,4237 186,7924576 186,5482206 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-22 7,608 7,598 24,0587 24,0587 183,0385896 182,7980026 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-27 7,73 7,72 23,9861 23,9861 185,412553 185,172692 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-28 7,76 7,75 24,0594 24,0594 186,700944 186,46035 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-29 7,833 7,823 23,8165 23,8165 186,5546445 186,3164795 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-06-30 7,823 7,813 23,6839 23,6839 185,2791497 185,0423107 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-01 7,858 7,848 23,5339 23,5339 184,9293862 184,6940472 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-04 7,945 7,935 23,5327 23,5327 186,9673015 186,7319745 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-05 7,963 7,953 23,8215 23,8215 189,6906045 189,4523895 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-06 7,895 7,885 23,5907 23,5907 186,2485765 186,0126695 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-07 7,878 7,868 23,7204 23,7204 186,8693112 186,6321072 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-08 7,913 7,903 24,0158 24,0158 190,0370254 189,7968674 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-11 7,89 7,88 24,2804 24,2804 191,572356 191,329552 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-12 7,77 7,76 24,4622 24,4622 190,071294 189,826672 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-13 7,703 7,693 24,501 24,501 188,731203 188,486193 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-15 7,76 7,75 24,6304 24,6304 191,131904 190,8856 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-18 7,78 7,77 24,4979 24,4979 190,593662 190,348683 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-19 7,878 7,868 24,8285 24,8285 195,598923 195,350638 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-20 7,818 7,808 24,7927 24,7927 193,8293286 193,5814016 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-21 7,775 7,765 24,8773 24,8773 193,4210075 193,1722345 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-22 7,758 7,748 24,9044 24,9044 193,2083352 192,9592912 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-25 7,838 7,828 24,8027 24,8027 194,4035626 194,1555356 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-26 7,818 7,808 24,8776 24,8776 194,4930768 194,2443008 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-27 7,905 7,895 25,3047 25,3047 200,0336535 199,7806065 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-28 7,848 7,838 25,4088 25,4088 199,4082624 199,1541744 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-07-29 7,748 7,738 25,1177 25,1177 194,6119396 194,3607626 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-01 7,72 7,71 25,1975 25,1975 194,5247 194,272725 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-02 7,7 7,69 25,4576 25,4576 196,02352 195,768944 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-03 7,685 7,675 25,4465 25,4465 195,5563525 195,3018875 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-04 7,618 7,608 25,1758 25,1758 191,7892444 191,5374864 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-05 7,548 7,538 24,9565 24,9565 188,371662 188,122097 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-08 7,558 7,548 24,8015 24,8015 187,449737 187,201722 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-09 7,548 7,538 24,8335 24,8335 187,443258 187,194923 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-10 7,558 7,548 24,6213 24,6213 186,0877854 185,8415724 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-11 7,523 7,513 24,8307 24,8307 186,8013561 186,5530491 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-12 7,46 7,45 24,8487 24,8487 185,371302 185,122815 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-16 7,523 7,513 24,5274 24,5274 184,5196302 184,2743562 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-17 7,605 7,595 24,6095 24,6095 187,1552475 186,9091525 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-18 7,61 7,6 24,5628 24,5628 186,922908 186,67728 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-19 7,698 7,688 24,5283 24,5283 188,8188534 188,5735704 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-22 7,69 7,68 24,4152 24,4152 187,752888 187,508736 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-23 7,663 7,653 24,3776 24,3776 186,8055488 186,5617728 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-24 7,673 7,663 24,2553 24,2553 186,1109169 185,8683639 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-25 7,588 7,578 24,2845 24,2845 184,270786 184,027941 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-26 7,578 7,568 24,25 24,25 183,7665 183,524 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-29 7,573 7,563 24,4116 24,4116 184,8690468 184,6249308 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-30 7,633 7,623 24,2902 24,2902 185,4070966 185,1641946 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-08-31 7,668 7,658 24,5188 24,5188 188,0101584 187,7649704 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-01 7,568 7,558 24,4702 24,4702 185,1904736 184,9457716 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-02 7,435 7,425 24,3728 24,3728 181,211768 180,96804 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-05 7,41 7,4 24,3714 24,3714 180,592074 180,34836 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-06 7,485 7,475 24,6925 24,6925 184,8233625 184,5764375 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-07 7,43 7,42 24,7085 24,7085 183,584155 183,33707 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-08 7,498 7,488 24,5088 24,5088 183,7669824 183,5218944 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-09 7,523 7,513 24,6378 24,6378 185,3501694 185,1037914 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-12 7,555 7,545 24,7405 24,7405 186,9144775 186,6670725 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-13 7,57 7,56 24,638 24,638 186,50966 186,26328 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-14 7,61 7,6 24,3716 24,3716 185,467876 185,22416 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-15 7,658 7,648 24,3595 24,3595 186,545051 186,301456 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-16 7,613 7,603 24,5805 24,5805 187,1313465 186,8855415 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-19 7,698 7,688 24,3647 24,3647 187,5594606 187,3158136 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-20 7,688 7,678 24,2093 24,2093 186,1210984 185,8790054 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-21 7,663 7,653 23,9509 23,9509 183,5357467 183,2962377 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-22 7,648 7,638 24,2101 24,2101 185,1588448 184,9167438 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-23 7,733 7,723 24,3275 24,3275 188,1245575 187,8812825 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-26 7,798 7,788 24,2499 24,2499 189,1007202 188,8582212 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-27 7,825 7,815 24,2359 24,2359 189,6459175 189,4035585 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-28 7,81 7,8 24,2195 24,2195 189,154295 188,9121 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-29 7,785 7,775 24,6437 24,6437 191,8512045 191,6047675 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-09-30 7,785 7,775 24,7199 24,7199 192,4444215 192,1972225 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-03 7,783 7,773 24,8291 24,8291 193,2448853 192,9965943 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-04 7,82 7,81 24,5534 24,5534 192,007588 191,762054 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-05 7,795 7,785 24,2903 24,2903 189,3428885 189,0999855 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-06 7,713 7,703 24,1111 24,1111 185,9689143 185,7278033 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-07 7,683 7,673 24,1784 24,1784 185,7626472 185,5208632 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-10 7,698 7,688 24,0763 24,0763 185,3393574 185,0985944 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-11 7,77 7,76 23,9738 23,9738 186,276426 186,036688 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-12 7,805 7,795 23,7461 23,7461 185,3383105 185,1008495 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-13 7,83 7,82 23,9465 23,9465 187,501095 187,26163 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-14 7,833 7,823 24,2595 24,2595 190,0246635 189,7820685 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-17 7,835 7,825 24,4094 24,4094 191,247649 191,003555 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-18 7,893 7,883 24,1938 24,1938 190,9616634 190,7197254 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-19 7,96 7,95 24,8211 24,8211 197,575956 197,327745 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-20 7,93 7,92 24,3836 24,3836 193,361948 193,118112 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-21 7,883 7,873 24,7606 24,7606 195,1878098 194,9402038 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-24 7,995 7,985 25,1504 25,1504 201,077448 200,825944 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-25 7,99 7,98 24,9718 24,9718 199,524682 199,274964 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-26 7,868 7,858 24,7058 24,7058 194,3852344 194,1381764 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-27 7,868 7,858 24,28 24,28 191,03504 190,79224 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-28 7,825 7,815 24,5348 24,5348 191,98481 191,739462 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-10-31 7,905 7,895 24,9183 24,9183 196,9791615 196,7299785 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-02 7,98 7,97 25,3375 25,3375 202,19325 201,939875 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-03 8,01 8 25,5898 25,5898 204,974298 204,7184 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-04 8,028 8,018 25,733 25,733 206,584524 206,327194 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-07 8,135 8,125 25,7693 25,7693 209,6332555 209,3755625 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-08 8,17 8,16 25,7047 25,7047 210,007399 209,750352 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-09 8,12 8,11 25,7071 25,7071 208,741652 208,484581 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-10 8,173 8,163 26,1435 26,1435 213,6708255 213,4093905 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-14 8,133 8,123 26,2105 26,2105 213,1699965 212,9078915 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-15 8,185 8,175 26,1164 26,1164 213,762734 213,50157 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-16 8,21 8,2 26,248 26,248 215,49608 215,2336 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-17 8,258 8,248 26,9105 26,9105 222,226909 221,957804 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-18 8,223 8,213 26,9209 26,9209 221,3705607 221,1013517 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-21 8,123 8,113 27,1393 27,1393 220,4525339 220,1811409 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-22 8,15 8,14 27,2647 27,2647 222,207305 221,934658 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-23 8,048 8,038 27,3457 27,3457 220,0781936 219,8047366 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-24 8,053 8,043 27,3445 27,3445 220,2052585 219,9318135 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-25 8,078 8,068 27,3274 27,3274 220,7507372 220,4774632 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-28 8,118 8,108 27,0628 27,0628 219,6958104 219,4251824 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-29 8,015 8,005 26,877 26,877 215,419155 215,150385 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-11-30 8,088 8,078 26,835 26,835 217,04148 216,77313 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-01 8,083 8,073 27,2364 27,2364 220,1518212 219,8794572 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-02 8,103 8,093 27,2464 27,2464 220,7775792 220,5051152 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-05 8,045 8,035 27,0671 27,0671 217,7548195 217,4841485 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-06 7,993 7,983 27,0953 27,0953 216,5727329 216,3017799 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-07 8,015 8,005 26,9557 26,9557 216,0499355 215,7803785 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-08 7,988 7,978 26,7701 26,7701 213,8395588 213,5718578 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-12 7,953 7,943 26,9469 26,9469 214,3086957 214,0392267 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-13 7,905 7,895 27,2027 27,2027 215,0373435 214,7653165 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-14 7,848 7,838 27,1909 27,1909 213,3941832 213,1222742 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-15 7,858 7,848 27,2304 27,2304 213,9764832 213,7041792 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-16 7,903 7,893 27,1507 27,1507 214,5719821 214,3004751 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-19 7,865 7,855 26,6465 26,6465 209,5747225 209,3082575 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-20 7,848 7,838 26,5722 26,5722 208,5386256 208,2729036 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-21 7,948 7,938 26,6501 26,6501 211,8149948 211,5484938 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-22 7,98 7,97 26,7914 26,7914 213,795372 213,527458 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-23 7,955 7,945 26,776 26,776 213,00308 212,73532 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-27 8,01 8 26,4783 26,4783 212,091183 211,8264 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-28 7,915 7,905 26,464 26,464 209,46256 209,19792 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-29 7,938 7,928 26,3117 26,3117 208,8622746 208,5991576 549329 SG Asset Management S.A. SGAM Fund Equities US Concentrated Core USD 2005-12-30 7,958 7,948 26,0726 26,0726 207,4857508 207,2250248 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-03 6,668 6,658 17,4476 17,4476 116,3405968 116,1661208 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-04 6,728 6,718 17,1736 17,1736 115,5439808 115,3722448 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-05 6,828 6,818 17,1113 17,1113 116,8359564 116,6648434 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-07 6,87 6,86 17,1382 17,1382 117,739434 117,568052 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-10 6,96091 6,95091 17,2009 17,2009 119,733916819 119,561907819 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-11 6,96091 6,95091 17,0577 17,0577 118,737114507 118,566537507 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-12 6,913 6,903 17,1391 17,1391 118,4825983 118,3112073 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-13 6,843 6,833 16,9444 16,9444 115,9505292 115,7810852 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-14 6,915 6,905 17,0887 17,0887 118,1683605 117,9974735 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-17 6,915 6,905 17,0879 17,0879 118,1628285 117,9919495 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-18 6,968 6,958 17,2272 17,2272 120,0391296 119,8668576 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-19 6,91 6,9 17,023 17,023 117,62893 117,4587 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-20 6,96 6,95 16,8321 16,8321 117,151416 116,983095 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-21 6,978 6,968 16,6823 16,6823 116,4090894 116,2422664 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-24 6,933 6,923 16,5173 16,5173 114,5144409 114,3492679 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-25 6,95 6,94 16,6144 16,6144 115,47008 115,303936 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-26 6,995 6,985 16,722 16,722 116,97039 116,80317 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-27 6,93 6,92 16,738 16,738 115,99434 115,82696 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-28 6,985 6,975 16,7215 16,7215 116,7996775 116,6324625 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-01-31 6,998 6,988 16,8387 16,8387 117,8372226 117,6688356 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-01 6,993 6,983 16,8834 16,8834 118,0656162 117,8967822 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-02 6,953 6,943 16,8695 16,8695 117,2936335 117,1249385 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-03 6,968 6,958 16,6664 16,6664 116,1314752 115,9648112 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-04 7,01 7 16,8338 16,8338 118,004938 117,8366 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-07 7,065 7,055 16,8307 16,8307 118,9088955 118,7405885 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-08 7,123 7,113 16,8175 16,8175 119,7910525 119,6228775 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-09 7,1 7,09 16,6007 16,6007 117,86497 117,698963 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-10 7,088 7,078 16,6303 16,6303 117,8755664 117,7092634 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-11 7,068 7,058 16,8279 16,8279 118,9395972 118,7713182 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-14 7,03 7,02 16,8779 16,8779 118,651637 118,482858 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-15 7,005 6,995 16,9412 16,9412 118,673106 118,503694 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-16 6,973 6,963 16,8895 16,8895 117,7704835 117,6015885 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-17 6,97 6,96 16,7456 16,7456 116,716832 116,549376 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-18 6,965 6,955 16,7138 16,7138 116,411617 116,244479 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-21 6,978 6,968 16,7129 16,7129 116,6226162 116,4554872 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-22 6,905 6,895 16,4977 16,4977 113,9166185 113,7516415 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-23 6,895 6,885 16,5162 16,5162 113,879199 113,714037 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-24 6,858 6,848 16,6656 16,6656 114,2926848 114,1260288 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-25 6,885 6,875 16,7681 16,7681 115,4483685 115,2806875 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-02-28 6,828 6,818 16,6637 16,6637 113,7797436 113,6131066 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-01 6,87 6,86 16,8379 16,8379 115,676373 115,507994 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-02 6,888 6,878 16,8008 16,8008 115,7239104 115,5559024 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-03 6,903 6,893 16,7592 16,7592 115,6887576 115,5211656 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-04 6,9 6,89 16,8806 16,8806 116,47614 116,307334 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-07 6,84 6,83 17,0311 17,0311 116,492724 116,322413 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-08 6,825 6,815 16,9427 16,9427 115,6339275 115,4645005 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-09 6,76 6,75 16,8481 16,8481 113,893156 113,724675 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-10 6,745 6,735 16,7734 16,7734 113,136583 112,968849 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-11 6,765 6,755 16,5495 16,5495 111,9573675 111,7918725 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-14 6,76 6,75 16,7685 16,7685 113,35506 113,187375 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-15 6,815 6,805 16,6161 16,6161 113,2387215 113,0725605 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-16 6,81 6,8 16,4789 16,4789 112,221309 112,05652 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-17 6,795 6,785 16,4393 16,4393 111,7050435 111,5406505 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-18 6,828 6,818 16,3997 16,3997 111,9771516 111,8131546 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-21 6,908 6,898 16,3705 16,3705 113,087414 112,923709 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-22 6,928 6,918 16,1925 16,1925 112,18164 112,019715 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-23 6,973 6,963 16,2782 16,2782 113,5078886 113,3451066 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-24 7,008 6,998 16,3403 16,3403 114,5128224 114,3494194 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-29 7,055 7,045 16,2345 16,2345 114,5343975 114,3720525 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-30 7,053 7,043 16,4935 16,4935 116,3286555 116,1637205 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-03-31 7,065 7,055 16,4935 16,4935 116,5265775 116,3616425 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-01 7,07 7,06 16,2207 16,2207 114,680349 114,518142 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-04 7,113 7,103 16,3017 16,3017 115,9539921 115,7909751 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-05 7,163 7,153 16,4353 16,4353 117,7260539 117,5617009 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-06 7,125 7,115 16,4248 16,4248 117,0267 116,862452 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-07 7,083 7,073 16,5664 16,5664 117,3398112 117,1741472 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-08 7,153 7,143 16,4109 16,4109 117,3871677 117,2230587 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-11 7,098 7,088 16,3858 16,3858 116,3064084 116,1425504 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-12 7,048 7,038 16,4734 16,4734 116,1045232 115,9397892 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-13 7,075 7,065 16,2869 16,2869 115,2298175 115,0669485 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-14 7,12 7,11 16,1758 16,1758 115,171696 115,009938 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-15 7,17 7,16 16,069 16,069 115,21473 115,05404 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-18 7,08 7,07 16,0759 16,0759 113,817372 113,656613 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-19 7,068 7,058 16,1257 16,1257 113,9764476 113,8151906 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-20 7,043 7,033 16,0006 16,0006 112,6922258 112,5322198 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-21 7,025 7,015 16,3295 16,3295 114,7147375 114,5514425 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-22 7,023 7,013 16,0795 16,0795 112,9263285 112,7655335 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-25 7,04 7,03 16,2013 16,2013 114,057152 113,895139 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-26 7,035 7,025 16,0673 16,0673 113,0334555 112,8727825 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-27 7,085 7,075 16,1407 16,1407 114,3568595 114,1954525 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-28 7,085 7,075 16,012 16,012 113,44502 113,2849 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-04-29 7,08 7,07 16,1807 16,1807 114,559356 114,397549 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-02 7,15 7,14 16,2184 16,2184 115,96156 115,799376 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-03 7,178 7,168 16,2646 16,2646 116,7472988 116,5846528 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-04 7,11 7,1 16,476 16,476 117,14436 116,9796 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-06 7,085 7,075 16,4796 16,4796 116,757966 116,59317 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-09 7,168 7,158 16,545 16,545 118,59456 118,42911 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-10 7,178 7,168 16,4237 16,4237 117,8893186 117,7250816 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-11 7,15 7,14 16,536 16,536 118,2324 118,06704 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-12 7,243 7,233 16,4805 16,4805 119,3682615 119,2034565 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-13 7,265 7,255 16,6995 16,6995 121,3218675 121,1548725 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-17 7,313 7,303 16,7654 16,7654 122,6053702 122,4377162 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-18 7,3 7,29 16,9163 16,9163 123,48899 123,319827 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-19 7,26 7,25 17,0069 17,0069 123,470094 123,300025 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-20 7,28 7,27 17,0253 17,0253 123,944184 123,773931 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-23 7,32 7,31 17,0831 17,0831 125,048292 124,877461 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-24 7,295 7,285 17,1279 17,1279 124,9480305 124,7767515 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-25 7,298 7,288 17,0109 17,0109 124,1455482 123,9754392 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-26 7,33 7,32 17,1174 17,1174 125,470542 125,299368 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-27 7,338 7,328 17,0896 17,0896 125,4034848 125,2325888 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-30 7,338 7,328 17,0898 17,0898 125,4049524 125,2340544 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-05-31 7,403 7,393 16,975 16,975 125,665925 125,496175 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-01 7,428 7,418 17,1502 17,1502 127,3916856 127,2201836 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-02 7,473 7,463 17,2403 17,2403 128,8367619 128,6643589 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-03 7,438 7,428 17,0516 17,0516 126,8298008 126,6592848 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-07 7,448 7,438 17,0338 17,0338 126,8677424 126,6974044 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-08 7,435 7,425 16,9571 16,9571 126,0760385 125,9064675 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-09 7,523 7,513 17,0592 17,0592 128,3363616 128,1657696 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-10 7,525 7,515 16,9366 16,9366 127,447915 127,278549 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-13 7,643 7,633 16,9459 16,9459 129,5175137 129,3480547 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-14 7,663 7,653 16,9461 16,9461 129,8579643 129,6885033 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-15 7,693 7,683 16,9623 16,9623 130,4909739 130,3213509 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-16 7,678 7,668 17,017 17,017 130,656526 130,486356 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-17 7,643 7,633 17,0993 17,0993 130,6899499 130,5189569 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-20 7,543 7,533 17,0935 17,0935 128,9362705 128,7653355 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-21 7,648 7,638 17,0794 17,0794 130,6232512 130,4524572 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-22 7,608 7,598 16,8437 16,8437 128,1468696 127,9784326 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-27 7,73 7,72 16,7307 16,7307 129,328311 129,161004 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-28 7,76 7,75 16,9242 16,9242 131,331792 131,16255 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-29 7,833 7,823 16,8863 16,8863 132,2703879 132,1015249 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-06-30 7,823 7,813 16,7773 16,7773 131,2488179 131,0810449 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-01 7,858 7,848 16,7863 16,7863 131,9067454 131,7388824 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-04 7,945 7,935 16,7856 16,7856 133,361592 133,193736 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-05 7,963 7,953 16,9334 16,9334 134,8406642 134,6713302 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-06 7,895 7,885 16,8253 16,8253 132,8357435 132,6674905 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-07 7,878 7,868 16,8809 16,8809 132,9877302 132,8189212 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-08 7,913 7,903 17,1148 17,1148 135,4294124 135,2582644 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-11 7,89 7,88 17,2611 17,2611 136,190079 136,017468 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-12 7,77 7,76 17,297 17,297 134,39769 134,22472 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-13 7,703 7,693 17,3094 17,3094 133,3343082 133,1612142 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-15 7,76 7,75 17,4115 17,4115 135,11324 134,939125 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-18 7,78 7,77 17,338 17,338 134,88964 134,71626 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-19 7,878 7,868 17,4765 17,4765 137,679867 137,505102 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-20 7,818 7,808 17,5711 17,5711 137,3708598 137,1951488 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-21 7,775 7,765 17,4522 17,4522 135,690855 135,516333 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-22 7,758 7,748 17,391 17,391 134,919378 134,745468 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-25 7,838 7,828 17,2817 17,2817 135,4539646 135,2811476 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-26 7,818 7,808 17,3733 17,3733 135,8244594 135,6507264 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-27 7,905 7,895 17,4463 17,4463 137,9130015 137,7385385 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-28 7,848 7,838 17,5471 17,5471 137,7096408 137,5341698 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-07-29 7,748 7,738 17,4336 17,4336 135,0755328 134,9011968 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-01 7,72 7,71 17,4746 17,4746 134,903912 134,729166 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-02 7,7 7,69 17,6211 17,6211 135,68247 135,506259 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-03 7,685 7,675 17,6177 17,6177 135,3920245 135,2158475 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-04 7,618 7,608 17,4551 17,4551 132,9729518 132,7984008 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-05 7,548 7,538 17,3224 17,3224 130,7494752 130,5762512 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-08 7,558 7,548 17,2462 17,2462 130,3467796 130,1743176 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-09 7,548 7,538 17,3639 17,3639 131,0627172 130,8890782 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-10 7,558 7,548 17,2508 17,2508 130,3815464 130,2090384 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-11 7,523 7,513 17,3275 17,3275 130,3547825 130,1815075 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-12 7,46 7,45 17,243 17,243 128,63278 128,46035 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-16 7,523 7,513 17,0495 17,0495 128,2633885 128,0928935 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-17 7,605 7,595 17,0928 17,0928 129,990744 129,819816 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-18 7,61 7,6 17,0637 17,0637 129,854757 129,68412 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-19 7,698 7,688 17,0629 17,0629 131,3502042 131,1795752 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-22 7,69 7,68 17,0367 17,0367 131,012223 130,841856 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-23 7,663 7,653 16,9802 16,9802 130,1192726 129,9494706 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-24 7,673 7,663 16,8758 16,8758 129,4880134 129,3192554 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-25 7,588 7,578 16,9317 16,9317 128,4777396 128,3084226 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-26 7,578 7,568 16,8682 16,8682 127,8272196 127,6585376 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-29 7,573 7,563 16,9895 16,9895 128,6614835 128,4915885 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-30 7,633 7,623 16,9054 16,9054 129,0389182 128,8698642 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-08-31 7,668 7,658 17,0919 17,0919 131,0606892 130,8897702 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-01 7,568 7,558 17,1224 17,1224 129,5823232 129,4110992 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-02 7,435 7,425 17,1096 17,1096 127,209876 127,03878 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-05 7,41 7,4 17,1088 17,1088 126,776208 126,60512 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-06 7,485 7,475 17,3719 17,3719 130,0286715 129,8549525 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-07 7,43 7,42 17,4152 17,4152 129,394936 129,220784 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-08 7,498 7,488 17,363 17,363 130,187774 130,014144 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-09 7,523 7,513 17,5268 17,5268 131,8541164 131,6788484 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-12 7,555 7,545 17,5715 17,5715 132,7526825 132,5769675 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-13 7,57 7,56 17,4177 17,4177 131,851989 131,677812 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-14 7,61 7,6 17,2777 17,2777 131,483297 131,31052 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-15 7,658 7,648 17,3166 17,3166 132,6105228 132,4373568 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-16 7,613 7,603 17,4308 17,4308 132,7006804 132,5263724 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-19 7,698 7,688 17,3073 17,3073 133,2315954 133,0585224 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-20 7,688 7,678 17,2181 17,2181 132,3727528 132,2005718 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-21 7,663 7,653 17,0666 17,0666 130,7813558 130,6106898 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-22 7,648 7,638 17,1982 17,1982 131,5318336 131,3598516 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-23 7,733 7,723 17,1837 17,1837 132,8815521 132,7097151 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-26 7,798 7,788 17,1389 17,1389 133,6491422 133,4777532 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-27 7,825 7,815 17,128 17,128 134,0266 133,85532 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-28 7,81 7,8 17,1171 17,1171 133,684551 133,51338 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-29 7,785 7,775 17,3202 17,3202 134,837757 134,664555 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-09-30 7,785 7,775 17,4191 17,4191 135,6076935 135,4335025 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-03 7,783 7,773 17,3913 17,3913 135,3564879 135,1825749 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-04 7,82 7,81 17,254 17,254 134,92628 134,75374 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-05 7,795 7,785 16,9712 16,9712 132,290504 132,120792 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-06 7,713 7,703 16,7624 16,7624 129,2883912 129,1207672 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-07 7,683 7,673 16,8238 16,8238 129,2572554 129,0890174 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-10 7,698 7,688 16,6923 16,6923 128,4973254 128,3304024 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-11 7,77 7,76 16,6394 16,6394 129,288138 129,121744 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-12 7,805 7,795 16,4805 16,4805 128,6303025 128,4654975 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-13 7,83 7,82 16,5409 16,5409 129,515247 129,349838 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-14 7,833 7,823 16,7277 16,7277 131,0280741 130,8607971 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-17 7,835 7,825 16,8354 16,8354 131,905359 131,737005 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-18 7,893 7,883 16,7407 16,7407 132,1343451 131,9669381 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-19 7,96 7,95 17,0219 17,0219 135,494324 135,324105 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-20 7,93 7,92 16,8127 16,8127 133,324711 133,156584 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-21 7,883 7,873 16,932 16,932 133,474956 133,305636 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-24 7,995 7,985 17,1727 17,1727 137,2957365 137,1240095 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-25 7,99 7,98 17,0959 17,0959 136,596241 136,425282 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-26 7,868 7,858 16,9046 16,9046 133,0053928 132,8363468 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-27 7,868 7,858 16,7545 16,7545 131,824406 131,656861 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-28 7,825 7,815 17,0309 17,0309 133,2667925 133,0964835 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-10-31 7,905 7,895 17,1184 17,1184 135,320952 135,149768 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-02 7,98 7,97 17,2337 17,2337 137,524926 137,352589 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-03 8,01 8 17,3813 17,3813 139,224213 139,0504 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-04 8,028 8,018 17,418 17,418 139,831704 139,657524 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-07 8,135 8,125 17,422 17,422 141,72797 141,55375 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-08 8,17 8,16 17,3313 17,3313 141,596721 141,423408 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-09 8,12 8,11 17,2972 17,2972 140,453264 140,280292 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-10 8,173 8,163 17,5366 17,5366 143,3266318 143,1512658 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-14 8,133 8,123 17,6432 17,6432 143,4921456 143,3157136 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-15 8,185 8,175 17,6236 17,6236 144,249166 144,07293 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-16 8,21 8,2 17,7133 17,7133 145,426193 145,24906 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-17 8,258 8,248 17,9762 17,9762 148,4474596 148,2676976 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-18 8,223 8,213 17,9968 17,9968 147,9876864 147,8077184 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-21 8,123 8,113 18,1311 18,1311 147,2789253 147,0976143 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-22 8,15 8,14 18,2029 18,2029 148,353635 148,171606 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-23 8,048 8,038 18,2434 18,2434 146,8228832 146,6404492 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-24 8,053 8,043 18,2421 18,2421 146,9036313 146,7212103 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-25 8,078 8,068 18,2473 18,2473 147,4016894 147,2192164 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-28 8,118 8,108 18,0501 18,0501 146,5307118 146,3502108 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-29 8,015 8,005 18,0472 18,0472 144,648308 144,467836 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-11-30 8,088 8,078 17,9628 17,9628 145,2831264 145,1034984 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-01 8,083 8,073 18,2126 18,2126 147,2124458 147,0303198 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-02 8,103 8,093 18,1907 18,1907 147,3992421 147,2173351 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-05 8,045 8,035 18,1615 18,1615 146,1092675 145,9276525 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-06 7,993 7,983 18,2147 18,2147 145,5900971 145,4079501 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-07 8,015 8,005 18,0911 18,0911 145,0001665 144,8192555 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-08 7,988 7,978 18,1023 18,1023 144,6011724 144,4201494 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-12 7,953 7,943 18,203 18,203 144,768459 144,586429 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-13 7,905 7,895 18,3244 18,3244 144,854382 144,671138 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-14 7,848 7,838 18,34 18,34 143,93232 143,74892 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-15 7,858 7,848 18,3485 18,3485 144,182513 143,999028 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-16 7,903 7,893 18,2688 18,2688 144,3783264 144,1956384 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-19 7,865 7,855 18,0503 18,0503 141,9656095 141,7851065 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-20 7,848 7,838 18,0766 18,0766 141,8651568 141,6843908 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-21 7,948 7,938 18,1417 18,1417 144,1902316 144,0088146 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-22 7,98 7,97 18,1874 18,1874 145,135452 144,953578 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-23 7,955 7,945 18,1674 18,1674 144,521667 144,339993 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-27 8,01 8 17,9667 17,9667 143,913267 143,7336 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-28 7,915 7,905 18,0184 18,0184 142,615636 142,435452 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-29 7,938 7,928 17,963 17,963 142,590294 142,410664 762534 SG Asset Management S.A. SGAM Fund Equities US Large Cap Growth USD 2005-12-30 7,958 7,948 17,8595 17,8595 142,125901 141,947306 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-03 6,668 6,658 27,8045 27,8045 185,400406 185,122361 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-04 6,728 6,718 27,2015 27,2015 183,011692 182,739677 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-05 6,828 6,818 26,9992 26,9992 184,3505376 184,0805456 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-07 6,87 6,86 26,8639 26,8639 184,554993 184,286354 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-10 6,96091 6,95091 26,971 26,971 187,74270361 187,47299361 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-11 6,96091 6,95091 26,561 26,561 184,88873051 184,62312051 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-12 6,913 6,903 26,6632 26,6632 184,3227016 184,0560696 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-13 6,843 6,833 26,347 26,347 180,292521 180,029051 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-14 6,915 6,905 26,6758 26,6758 184,463157 184,196399 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-17 6,915 6,905 26,6745 26,6745 184,4541675 184,1874225 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-18 6,968 6,958 26,9278 26,9278 187,6329104 187,3636324 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-19 6,91 6,9 26,4767 26,4767 182,953997 182,68923 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-20 6,96 6,95 25,8654 25,8654 180,023184 179,76453 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-21 6,978 6,968 25,629 25,629 178,839162 178,582872 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-24 6,933 6,923 25,2605 25,2605 175,1310465 174,8784415 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-25 6,95 6,94 25,3744 25,3744 176,35208 176,098336 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-26 6,995 6,985 25,7702 25,7702 180,262549 180,004847 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-27 6,93 6,92 25,8709 25,8709 179,285337 179,026628 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-28 6,985 6,975 25,7227 25,7227 179,6730595 179,4158325 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-01-31 6,998 6,988 26,0509 26,0509 182,3041982 182,0436892 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-01 6,993 6,983 25,9843 25,9843 181,7082099 181,4483669 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-02 6,953 6,943 25,9484 25,9484 180,4192252 180,1597412 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-03 6,968 6,958 25,6005 25,6005 178,384284 178,128279 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-04 7,01 7 25,8893 25,8893 181,483993 181,2251 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-07 7,065 7,055 25,8257 25,8257 182,4585705 182,2003135 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-08 7,123 7,113 25,9703 25,9703 184,9864469 184,7267439 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-09 7,1 7,09 25,4993 25,4993 181,04503 180,790037 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-10 7,088 7,078 25,6202 25,6202 181,5959776 181,3397756 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-11 7,068 7,058 26,0543 26,0543 184,1517924 183,8912494 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-14 7,03 7,02 26,0606 26,0606 183,206018 182,945412 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-15 7,005 6,995 26,0647 26,0647 182,5832235 182,3225765 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-16 6,973 6,963 26,015 26,015 181,402595 181,142445 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-17 6,97 6,96 25,8162 25,8162 179,938914 179,680752 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-18 6,965 6,955 25,7756 25,7756 179,527054 179,269298 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-21 6,978 6,968 25,7685 25,7685 179,812593 179,554908 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-22 6,905 6,895 25,3278 25,3278 174,888459 174,635181 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-23 6,895 6,885 25,2928 25,2928 174,393856 174,140928 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-24 6,858 6,848 25,4916 25,4916 174,8213928 174,5664768 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-25 6,885 6,875 25,8099 25,8099 177,7011615 177,4430625 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-02-28 6,828 6,818 25,6298 25,6298 175,0002744 174,7439764 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-01 6,87 6,86 25,8386 25,8386 177,511182 177,252796 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-02 6,888 6,878 25,8047 25,8047 177,7427736 177,4847266 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-03 6,903 6,893 25,7299 25,7299 177,6134997 177,3562007 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-04 6,9 6,89 25,88 25,88 178,572 178,3132 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-07 6,84 6,83 26,0389 26,0389 178,106076 177,845687 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-08 6,825 6,815 25,8491 25,8491 176,4201075 176,1616165 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-09 6,76 6,75 25,462 25,462 172,12312 171,8685 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-10 6,745 6,735 25,4041 25,4041 171,3506545 171,0966135 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-11 6,765 6,755 25,2287 25,2287 170,6721555 170,4198685 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-14 6,76 6,75 25,5131 25,5131 172,468556 172,213425 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-15 6,815 6,805 25,2476 25,2476 172,062394 171,809918 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-16 6,81 6,8 25,0858 25,0858 170,834298 170,58344 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-17 6,795 6,785 25,1923 25,1923 171,1816785 170,9297555 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-18 6,828 6,818 25,103 25,103 171,403284 171,152254 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-21 6,908 6,898 25,2846 25,2846 174,6660168 174,4131708 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-22 6,928 6,918 25,1526 25,1526 174,2572128 174,0056868 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-23 6,973 6,963 25,1071 25,1071 175,0718083 174,8207373 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-24 7,008 6,998 25,2448 25,2448 176,9155584 176,6631104 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-29 7,055 7,045 24,9966 24,9966 176,351013 176,101047 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-30 7,053 7,043 25,3175 25,3175 178,5643275 178,3111525 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-03-31 7,065 7,055 25,3175 25,3175 178,8681375 178,6149625 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-01 7,07 7,06 25,2147 25,2147 178,267929 178,015782 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-04 7,113 7,103 25,3165 25,3165 180,0762645 179,8230995 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-05 7,163 7,153 25,4592 25,4592 182,3642496 182,1096576 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-06 7,125 7,115 25,4587 25,4587 181,3932375 181,1386505 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-07 7,083 7,073 25,5584 25,5584 181,0301472 180,7745632 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-08 7,153 7,143 25,2247 25,2247 180,4322791 180,1800321 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-11 7,098 7,088 25,0389 25,0389 177,7261122 177,4757232 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-12 7,048 7,038 25,1257 25,1257 177,0859336 176,8346766 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-13 7,075 7,065 24,7973 24,7973 175,4408975 175,1929245 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-14 7,12 7,11 24,4946 24,4946 174,401552 174,156606 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-15 7,17 7,16 24,2877 24,2877 174,142809 173,899932 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-18 7,08 7,07 24,4089 24,4089 172,815012 172,570923 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-19 7,068 7,058 24,6913 24,6913 174,5181084 174,2711954 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-20 7,043 7,033 24,5975 24,5975 173,2401925 172,9942175 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-21 7,025 7,015 25,0473 25,0473 175,9572825 175,7068095 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-22 7,023 7,013 24,4954 24,4954 172,0311942 171,7862402 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-25 7,04 7,03 24,8415 24,8415 174,88416 174,635745 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-26 7,035 7,025 24,5122 24,5122 172,443327 172,198205 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-27 7,085 7,075 24,5801 24,5801 174,1500085 173,9042075 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-28 7,085 7,075 24,2619 24,2619 171,8955615 171,6529425 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-04-29 7,08 7,07 24,3288 24,3288 172,247904 172,004616 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-02 7,15 7,14 24,3569 24,3569 174,151835 173,908266 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-03 7,178 7,168 24,3392 24,3392 174,7067776 174,4633856 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-04 7,11 7,1 24,6455 24,6455 175,229505 174,98305 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-06 7,085 7,075 24,8297 24,8297 175,9184245 175,6701275 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-09 7,168 7,158 24,9504 24,9504 178,8444672 178,5949632 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-10 7,178 7,168 24,8092 24,8092 178,0804376 177,8323456 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-11 7,15 7,14 24,9192 24,9192 178,17228 177,923088 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-12 7,243 7,233 24,7115 24,7115 178,9853945 178,7382795 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-13 7,265 7,255 25,0239 25,0239 181,7986335 181,5483945 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-17 7,313 7,303 25,0688 25,0688 183,3281344 183,0774464 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-18 7,3 7,29 25,3865 25,3865 185,32145 185,067585 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-19 7,26 7,25 25,6744 25,6744 186,396144 186,1394 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-20 7,28 7,27 25,739 25,739 187,37992 187,12253 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-23 7,32 7,31 25,9498 25,9498 189,952536 189,693038 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-24 7,295 7,285 25,9937 25,9937 189,6240415 189,3641045 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-25 7,298 7,288 25,8336 25,8336 188,5336128 188,2752768 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-26 7,33 7,32 26,1617 26,1617 191,765261 191,503644 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-27 7,338 7,328 26,2376 26,2376 192,5315088 192,2691328 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-30 7,338 7,328 26,2364 26,2364 192,5227032 192,2603392 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-05-31 7,403 7,393 26,2026 26,2026 193,9778478 193,7158218 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-01 7,428 7,418 26,4739 26,4739 196,6481292 196,3833902 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-02 7,473 7,463 26,6531 26,6531 199,1786163 198,9120853 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-03 7,438 7,428 26,3676 26,3676 196,1222088 195,8585328 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-07 7,448 7,438 26,332 26,332 196,120736 195,857416 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-08 7,435 7,425 26,0859 26,0859 193,9486665 193,6878075 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-09 7,523 7,513 26,4529 26,4529 199,0051667 198,7406377 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-10 7,525 7,515 26,3235 26,3235 198,0843375 197,8211025 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-13 7,643 7,633 26,3904 26,3904 201,7018272 201,4379232 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-14 7,663 7,653 26,46 26,46 202,76298 202,49838 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-15 7,693 7,683 26,5023 26,5023 203,8821939 203,6171709 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-16 7,678 7,668 26,9333 26,9333 206,7938774 206,5245444 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-17 7,643 7,633 27,0631 27,0631 206,8432733 206,5726423 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-20 7,543 7,533 26,9556 26,9556 203,3260908 203,0565348 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-21 7,648 7,638 26,8758 26,8758 205,5461184 205,2773604 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-22 7,608 7,598 26,6541 26,6541 202,7843928 202,5178518 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-27 7,73 7,72 26,415 26,415 204,18795 203,9238 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-28 7,76 7,75 26,8007 26,8007 207,973432 207,705425 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-29 7,833 7,823 26,7187 26,7187 209,2875771 209,0203901 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-06-30 7,823 7,813 26,636 26,636 208,373428 208,107068 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-01 7,858 7,848 26,7253 26,7253 210,0074074 209,7401544 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-04 7,945 7,935 26,7241 26,7241 212,3229745 212,0557335 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-05 7,963 7,953 27,0661 27,0661 215,5273543 215,2566933 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-06 7,895 7,885 26,9384 26,9384 212,678668 212,409284 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-07 7,878 7,868 27,0968 27,0968 213,4685904 213,1976224 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-08 7,913 7,903 27,4633 27,4633 217,3170929 217,0424599 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-11 7,89 7,88 27,7846 27,7846 219,220494 218,942648 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-12 7,77 7,76 27,8751 27,8751 216,589527 216,310776 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-13 7,703 7,693 27,9739 27,9739 215,4829517 215,2032127 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-15 7,76 7,75 28,1188 28,1188 218,201888 217,9207 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-18 7,78 7,77 28,0258 28,0258 218,040724 217,760466 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-19 7,878 7,868 28,3945 28,3945 223,691871 223,407926 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-20 7,818 7,808 28,4036 28,4036 222,0593448 221,7753088 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-21 7,775 7,765 28,372 28,372 220,5923 220,30858 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-22 7,758 7,748 28,6029 28,6029 221,9012982 221,6152692 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-25 7,838 7,828 28,3879 28,3879 222,5043602 222,2204812 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-26 7,818 7,808 28,5583 28,5583 223,2687894 222,9832064 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-27 7,905 7,895 28,9634 28,9634 228,955677 228,666043 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-28 7,848 7,838 29,3036 29,3036 229,9746528 229,6816168 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-07-29 7,748 7,738 29,2782 29,2782 226,8474936 226,5547116 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-01 7,72 7,71 29,4619 29,4619 227,445868 227,151249 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-02 7,7 7,69 29,6339 29,6339 228,18103 227,884691 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-03 7,685 7,675 29,6169 29,6169 227,6058765 227,3097075 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-04 7,618 7,608 29,2012 29,2012 222,4547416 222,1627296 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-05 7,548 7,538 28,9039 28,9039 218,1666372 217,8775982 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-08 7,558 7,548 28,8441 28,8441 218,0037078 217,7152668 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-09 7,548 7,538 28,9735 28,9735 218,691978 218,402243 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-10 7,558 7,548 28,9391 28,9391 218,7217178 218,4323268 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-11 7,523 7,513 29,1368 29,1368 219,1961464 218,9047784 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-12 7,46 7,45 28,9959 28,9959 216,309414 216,019455 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-16 7,523 7,513 28,5669 28,5669 214,9087887 214,6231197 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-17 7,605 7,595 28,5991 28,5991 217,4961555 217,2101645 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-18 7,61 7,6 28,4148 28,4148 216,236628 215,95248 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-19 7,698 7,688 28,4416 28,4416 218,9434368 218,6590208 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-22 7,69 7,68 28,4214 28,4214 218,560566 218,276352 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-23 7,663 7,653 28,3867 28,3867 217,5272821 217,2434151 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-24 7,673 7,663 28,3448 28,3448 217,4896504 217,2062024 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-25 7,588 7,578 28,4017 28,4017 215,5120996 215,2280826 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-26 7,578 7,568 28,2201 28,2201 213,8519178 213,5697168 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-29 7,573 7,563 28,4073 28,4073 215,1284829 214,8444099 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-30 7,633 7,623 28,3539 28,3539 216,4253187 216,1417797 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-08-31 7,668 7,658 28,8039 28,8039 220,8683052 220,5802662 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-01 7,568 7,558 28,8062 28,8062 218,0053216 217,7172596 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-02 7,435 7,425 28,5741 28,5741 212,4484335 212,1626925 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-05 7,41 7,4 28,5734 28,5734 211,728894 211,44316 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-06 7,485 7,475 28,9602 28,9602 216,767097 216,477495 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-07 7,43 7,42 29,0699 29,0699 215,989357 215,698658 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-08 7,498 7,488 28,9371 28,9371 216,9703758 216,6810048 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-09 7,523 7,513 29,211 29,211 219,754353 219,462243 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-12 7,555 7,545 29,2543 29,2543 221,0162365 220,7236935 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-13 7,57 7,56 29,1455 29,1455 220,631435 220,33998 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-14 7,61 7,6 28,8689 28,8689 219,692329 219,40364 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-15 7,658 7,648 28,8001 28,8001 220,5511658 220,2631648 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-16 7,613 7,603 28,9459 28,9459 220,3651367 220,0756777 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-19 7,698 7,688 28,6872 28,6872 220,8340656 220,5471936 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-20 7,688 7,678 28,5646 28,5646 219,6046448 219,3189988 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-21 7,663 7,653 28,1485 28,1485 215,7019555 215,4204705 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-22 7,648 7,638 28,1406 28,1406 215,2193088 214,9379028 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-23 7,733 7,723 28,2871 28,2871 218,7441443 218,4612733 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-26 7,798 7,788 28,4148 28,4148 221,5786104 221,2944624 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-27 7,825 7,815 28,4382 28,4382 222,528915 222,244533 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-28 7,81 7,8 28,5699 28,5699 223,130919 222,84522 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-29 7,785 7,775 28,8622 28,8622 224,692227 224,403605 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-09-30 7,785 7,775 29,0612 29,0612 226,241442 225,95083 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-03 7,783 7,773 29,2535 29,2535 227,6799905 227,3874555 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-04 7,82 7,81 28,9392 28,9392 226,304544 226,015152 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-05 7,795 7,785 28,3636 28,3636 221,094262 220,810626 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-06 7,713 7,703 27,9741 27,9741 215,7642333 215,4844923 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-07 7,683 7,673 28,1414 28,1414 216,2103762 215,9289622 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-10 7,698 7,688 27,9612 27,9612 215,2453176 214,9657056 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-11 7,77 7,76 27,6908 27,6908 215,157516 214,880608 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-12 7,805 7,795 27,2916 27,2916 213,010938 212,738022 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-13 7,83 7,82 27,2924 27,2924 213,699492 213,426568 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-14 7,833 7,823 27,7204 27,7204 217,1338932 216,8566892 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-17 7,835 7,825 27,8988 27,8988 218,587098 218,30811 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-18 7,893 7,883 27,5361 27,5361 217,3424373 217,0670763 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-19 7,96 7,95 28,1586 28,1586 224,142456 223,86087 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-20 7,93 7,92 27,7587 27,7587 220,126491 219,848904 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-21 7,883 7,873 28,1667 28,1667 222,0380961 221,7564291 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-24 7,995 7,985 28,6869 28,6869 229,3517655 229,0648965 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-25 7,99 7,98 28,5977 28,5977 228,495623 228,209646 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-26 7,868 7,858 28,4773 28,4773 224,0593964 223,7746234 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-27 7,868 7,858 28,0215 28,0215 220,473162 220,192947 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-28 7,825 7,815 28,3638 28,3638 221,946735 221,663097 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-10-31 7,905 7,895 29,0357 29,0357 229,5272085 229,2368515 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-02 7,98 7,97 29,5854 29,5854 236,091492 235,795638 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-03 8,01 8 29,8137 29,8137 238,807737 238,5096 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-04 8,028 8,018 29,7138 29,7138 238,5423864 238,2452484 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-07 8,135 8,125 29,6986 29,6986 241,598111 241,301125 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-08 8,17 8,16 29,5601 29,5601 241,506017 241,210416 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-09 8,12 8,11 29,5811 29,5811 240,198532 239,902721 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-10 8,173 8,163 29,8317 29,8317 243,8144841 243,5161671 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-14 8,133 8,123 29,9839 29,9839 243,8590587 243,5592197 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-15 8,185 8,175 29,7992 29,7992 243,906452 243,60846 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-16 8,21 8,2 29,9965 29,9965 246,271265 245,9713 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-17 8,258 8,248 30,6636 30,6636 253,2200088 252,9133728 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-18 8,223 8,213 30,79 30,79 253,18617 252,87827 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-21 8,123 8,113 31,2616 31,2616 253,9379768 253,6253608 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-22 8,15 8,14 31,4996 31,4996 256,72174 256,406744 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-23 8,048 8,038 31,4379 31,4379 253,0122192 252,6978402 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-24 8,053 8,043 31,4371 31,4371 253,1629663 252,8485953 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-25 8,078 8,068 31,4777 31,4777 254,2768606 253,9620836 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-28 8,118 8,108 30,9237 30,9237 251,0385966 250,7293596 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-29 8,015 8,005 30,8347 30,8347 247,1401205 246,8317735 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-11-30 8,088 8,078 30,8661 30,8661 249,6450168 249,3363558 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-01 8,083 8,073 31,4282 31,4282 254,0341406 253,7198586 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-02 8,103 8,093 31,4085 31,4085 254,5030755 254,1889905 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-05 8,045 8,035 31,3262 31,3262 252,019279 251,706017 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-06 7,993 7,983 31,4241 31,4241 251,1728313 250,8585903 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-07 8,015 8,005 31,2199 31,2199 250,2274985 249,9152995 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-08 7,988 7,978 31,3044 31,3044 250,0595472 249,7465032 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-12 7,953 7,943 31,4751 31,4751 250,3214703 250,0067193 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-13 7,905 7,895 31,5167 31,5167 249,1395135 248,8243465 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-14 7,848 7,838 31,506 31,506 247,259088 246,944028 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-15 7,858 7,848 31,491 31,491 247,456278 247,141368 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-16 7,903 7,893 31,4059 31,4059 248,2008277 247,8867687 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-19 7,865 7,855 30,9153 30,9153 243,1488345 242,8396815 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-20 7,848 7,838 31,0192 31,0192 243,4386816 243,1284896 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-21 7,948 7,938 31,1308 31,1308 247,4275984 247,1162904 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-22 7,98 7,97 31,2793 31,2793 249,608814 249,296021 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-23 7,955 7,945 31,3083 31,3083 249,0575265 248,7444435 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-27 8,01 8 30,8695 30,8695 247,264695 246,956 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-28 7,915 7,905 31,1088 31,1088 246,226152 245,915064 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-29 7,938 7,928 30,9281 30,9281 245,5072578 245,1979768 513499 SG Asset Management S.A. SGAM Fund Equities US Mid Cap Growth USD 2005-12-30 7,958 7,948 30,7415 30,7415 244,640857 244,333442 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-03 6,668 6,658 25,297 25,297 168,680396 168,427426 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-04 6,728 6,718 24,9301 24,9301 167,7297128 167,4804118 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-05 6,828 6,818 24,8182 24,8182 169,4586696 169,2104876 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-07 6,87 6,86 24,7685 24,7685 170,159595 169,91191 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-10 6,96091 6,95091 24,7815 24,7815 172,501791165 172,253976165 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-11 6,96091 6,95091 24,5333 24,5333 170,774093303 170,528760303 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-12 6,913 6,903 24,7126 24,7126 170,8382038 170,5910778 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-13 6,843 6,833 24,4784 24,4784 167,5056912 167,2609072 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-14 6,915 6,905 24,7037 24,7037 170,8260855 170,5790485 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-17 6,915 6,905 24,7018 24,7018 170,812947 170,565929 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-18 6,968 6,958 25,002 25,002 174,213936 173,963916 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-19 6,91 6,9 24,6993 24,6993 170,672163 170,42517 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-20 6,96 6,95 24,3349 24,3349 169,370904 169,127555 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-21 6,978 6,968 24,1246 24,1246 168,3414588 168,1002128 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-24 6,933 6,923 23,9045 23,9045 165,7298985 165,4908535 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-25 6,95 6,94 23,9615 23,9615 166,532425 166,29281 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-26 6,995 6,985 24,222 24,222 169,43289 169,19067 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-27 6,93 6,92 24,2428 24,2428 168,002604 167,760176 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-28 6,985 6,975 24,135 24,135 168,582975 168,341625 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-01-31 6,998 6,988 24,3794 24,3794 170,6070412 170,3632472 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-01 6,993 6,983 24,4874 24,4874 171,2403882 170,9955142 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-02 6,953 6,943 24,5214 24,5214 170,4972942 170,2520802 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-03 6,968 6,958 24,341 24,341 169,608088 169,364678 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-04 7,01 7 24,671 24,671 172,94371 172,697 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-07 7,065 7,055 24,57 24,57 173,58705 173,34135 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-08 7,123 7,113 24,598 24,598 175,211554 174,965574 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-09 7,1 7,09 24,3779 24,3779 173,08309 172,839311 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-10 7,088 7,078 24,4338 24,4338 173,1867744 172,9424364 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-11 7,068 7,058 24,7117 24,7117 174,6622956 174,4151786 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-14 7,03 7,02 24,7413 24,7413 173,931339 173,683926 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-15 7,005 6,995 24,8436 24,8436 174,029418 173,780982 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-16 6,973 6,963 24,7465 24,7465 172,5573445 172,3098795 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-17 6,97 6,96 24,5903 24,5903 171,394391 171,148488 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-18 6,965 6,955 24,5529 24,5529 171,0109485 170,7654195 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-21 6,978 6,968 24,5514 24,5514 171,3196692 171,0741552 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-22 6,905 6,895 24,2282 24,2282 167,295721 167,053439 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-23 6,895 6,885 24,2709 24,2709 167,3478555 167,1051465 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-24 6,858 6,848 24,5473 24,5473 168,3453834 168,0999104 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-25 6,885 6,875 24,6833 24,6833 169,9445205 169,6976875 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-02-28 6,828 6,818 24,6071 24,6071 168,0172788 167,7712078 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-01 6,87 6,86 24,7978 24,7978 170,360886 170,112908 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-02 6,888 6,878 24,7787 24,7787 170,6756856 170,4278986 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-03 6,903 6,893 24,7627 24,7627 170,9369181 170,6892911 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-04 6,9 6,89 24,9364 24,9364 172,06116 171,811796 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-07 6,84 6,83 25,104 25,104 171,71136 171,46032 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-08 6,825 6,815 24,9707 24,9707 170,4250275 170,1753205 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-09 6,76 6,75 24,7451 24,7451 167,276876 167,029425 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-10 6,745 6,735 24,7549 24,7549 166,9718005 166,7242515 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-11 6,765 6,755 24,5793 24,5793 166,2789645 166,0331715 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-14 6,76 6,75 24,8163 24,8163 167,758188 167,510025 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-15 6,815 6,805 24,6775 24,6775 168,1771625 167,9303875 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-16 6,81 6,8 24,4763 24,4763 166,683603 166,43884 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-17 6,795 6,785 24,4698 24,4698 166,272291 166,027593 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-18 6,828 6,818 24,4569 24,4569 166,9917132 166,7471442 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-21 6,908 6,898 24,4542 24,4542 168,9296136 168,6850716 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-22 6,928 6,918 24,2336 24,2336 167,8903808 167,6480448 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-23 6,973 6,963 24,2319 24,2319 168,9690387 168,7267197 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-24 7,008 6,998 24,2304 24,2304 169,8066432 169,5643392 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-29 7,055 7,045 24,1172 24,1172 170,146846 169,905674 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-30 7,053 7,043 24,5026 24,5026 172,8168378 172,5718118 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-03-31 7,065 7,055 24,5026 24,5026 173,110869 172,865843 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-01 7,07 7,06 24,3051 24,3051 171,837057 171,594006 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-04 7,113 7,103 24,412 24,412 173,642556 173,398436 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-05 7,163 7,153 24,5178 24,5178 175,6210014 175,3758234 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-06 7,125 7,115 24,5376 24,5376 174,8304 174,585024 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-07 7,083 7,073 24,6747 24,6747 174,7709001 174,5241531 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-08 7,153 7,143 24,4388 24,4388 174,8107364 174,5663484 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-11 7,098 7,088 24,3942 24,3942 173,1500316 172,9060896 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-12 7,048 7,038 24,4913 24,4913 172,6146824 172,3697694 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-13 7,075 7,065 24,1696 24,1696 170,99992 170,758224 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-14 7,12 7,11 23,8976 23,8976 170,150912 169,911936 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-15 7,17 7,16 23,4535 23,4535 168,161595 167,92706 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-18 7,08 7,07 23,4459 23,4459 165,996972 165,762513 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-19 7,068 7,058 23,6659 23,6659 167,2705812 167,0339222 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-20 7,043 7,033 23,4188 23,4188 164,9386084 164,7044204 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-21 7,025 7,015 23,8904 23,8904 167,83006 167,591156 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-22 7,023 7,013 23,5611 23,5611 165,4696053 165,2339943 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-25 7,04 7,03 23,8418 23,8418 167,846272 167,607854 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-26 7,035 7,025 23,5717 23,5717 165,8269095 165,5911925 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-27 7,085 7,075 23,6717 23,6717 167,7139945 167,4772775 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-28 7,085 7,075 23,4761 23,4761 166,3281685 166,0934075 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-04-29 7,08 7,07 23,6719 23,6719 167,597052 167,360333 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-02 7,15 7,14 23,7779 23,7779 170,011985 169,774206 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-03 7,178 7,168 23,7956 23,7956 170,8048168 170,5668608 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-04 7,11 7,1 24,1223 24,1223 171,509553 171,26833 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-06 7,085 7,075 24,2027 24,2027 171,4761295 171,2341025 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-09 7,168 7,158 24,3136 24,3136 174,2798848 174,0367488 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-10 7,178 7,168 24,0838 24,0838 172,8735164 172,6326784 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-11 7,15 7,14 24,1729 24,1729 172,836235 172,594506 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-12 7,243 7,233 23,9953 23,9953 173,7979579 173,5580049 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-13 7,265 7,255 24,2054 24,2054 175,852231 175,610177 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-17 7,313 7,303 24,3493 24,3493 178,0664309 177,8229379 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-18 7,3 7,29 24,6248 24,6248 179,76104 179,514792 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-19 7,26 7,25 24,7829 24,7829 179,923854 179,676025 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-20 7,28 7,27 24,7973 24,7973 180,524344 180,276371 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-23 7,32 7,31 24,9319 24,9319 182,501508 182,252189 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-24 7,295 7,285 24,9144 24,9144 181,750548 181,501404 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-25 7,298 7,288 24,7506 24,7506 180,6298788 180,3823728 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-26 7,33 7,32 24,9691 24,9691 183,023503 182,773812 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-27 7,338 7,328 24,9783 24,9783 183,2907654 183,0409824 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-30 7,338 7,328 24,9771 24,9771 183,2819598 183,0321888 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-05-31 7,403 7,393 24,9219 24,9219 184,4968257 184,2476067 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-01 7,428 7,418 25,1739 25,1739 186,9917292 186,7399902 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-02 7,473 7,463 25,2669 25,2669 188,8195437 188,5668747 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-03 7,438 7,428 25,0531 25,0531 186,3449578 186,0944268 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-07 7,448 7,438 25,0289 25,0289 186,4152472 186,1649582 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-08 7,435 7,425 24,9087 24,9087 185,1961845 184,9470975 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-09 7,523 7,513 25,0961 25,0961 188,7979603 188,5469993 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-10 7,525 7,515 24,9999 24,9999 188,1242475 187,8742485 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-13 7,643 7,633 25,0946 25,0946 191,7980278 191,5470818 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-14 7,663 7,653 25,184 25,184 192,984992 192,733152 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-15 7,693 7,683 25,2558 25,2558 194,2928694 194,0403114 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-16 7,678 7,668 25,3839 25,3839 194,8975842 194,6437452 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-17 7,643 7,633 25,4252 25,4252 194,3248036 194,0705516 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-20 7,543 7,533 25,445 25,445 191,931635 191,677185 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-21 7,648 7,638 25,4254 25,4254 194,4534592 194,1992052 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-22 7,608 7,598 25,1134 25,1134 191,0627472 190,8116132 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-27 7,73 7,72 24,8549 24,8549 192,128377 191,879828 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-28 7,76 7,75 25,0906 25,0906 194,703056 194,45215 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-29 7,833 7,823 24,9677 24,9677 195,5719941 195,3223171 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-06-30 7,823 7,813 24,8413 24,8413 194,3334899 194,0850769 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-01 7,858 7,848 24,8181 24,8181 195,0206298 194,7724488 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-04 7,945 7,935 24,8161 24,8161 197,1639145 196,9157535 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-05 7,963 7,953 25,0437 25,0437 199,4229831 199,1725461 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-06 7,895 7,885 24,8475 24,8475 196,1710125 195,9225375 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-07 7,878 7,868 24,9044 24,9044 196,1968632 195,9478192 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-08 7,913 7,903 25,1759 25,1759 199,2168967 198,9651377 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-11 7,89 7,88 25,3732 25,3732 200,194548 199,940816 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-12 7,77 7,76 25,4867 25,4867 198,031659 197,776792 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-13 7,703 7,693 25,4628 25,4628 196,1399484 195,8853204 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-15 7,76 7,75 25,6333 25,6333 198,914408 198,658075 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-18 7,78 7,77 25,5084 25,5084 198,455352 198,200268 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-19 7,878 7,868 25,7309 25,7309 202,7080302 202,4507212 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-20 7,818 7,808 25,8244 25,8244 201,8951592 201,6369152 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-21 7,775 7,765 25,7553 25,7553 200,2474575 199,9899045 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-22 7,758 7,748 25,8159 25,8159 200,2797522 200,0215932 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-25 7,838 7,828 25,6858 25,6858 201,3253004 201,0684424 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-26 7,818 7,808 25,7707 25,7707 201,4753326 201,2176256 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-27 7,905 7,895 26,0072 26,0072 205,586916 205,326844 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-28 7,848 7,838 26,1187 26,1187 204,9795576 204,7183706 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-07-29 7,748 7,738 25,9574 25,9574 201,1179352 200,8583612 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-01 7,72 7,71 25,9923 25,9923 200,660556 200,400633 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-02 7,7 7,69 26,2032 26,2032 201,76464 201,502608 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-03 7,685 7,675 26,2017 26,2017 201,3600645 201,0980475 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-04 7,618 7,608 26,0292 26,0292 198,2904456 198,0301536 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-05 7,548 7,538 25,8508 25,8508 195,1218384 194,8633304 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-08 7,558 7,548 25,7649 25,7649 194,7311142 194,4734652 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-09 7,548 7,538 25,8877 25,8877 195,4003596 195,1414826 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-10 7,558 7,548 25,7939 25,7939 194,9502962 194,6923572 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-11 7,523 7,513 25,9683 25,9683 195,3595209 195,0998379 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-12 7,46 7,45 25,9443 25,9443 193,544478 193,285035 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-16 7,523 7,513 25,6076 25,6076 192,6459748 192,3898988 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-17 7,605 7,595 25,7464 25,7464 195,801372 195,543908 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-18 7,61 7,6 25,6878 25,6878 195,484158 195,22728 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-19 7,698 7,688 25,7156 25,7156 197,9586888 197,7015328 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-22 7,69 7,68 25,7137 25,7137 197,738353 197,481216 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-23 7,663 7,653 25,647 25,647 196,532961 196,276491 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-24 7,673 7,663 25,5397 25,5397 195,9661181 195,7107211 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-25 7,588 7,578 25,6237 25,6237 194,4326356 194,1763986 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-26 7,578 7,568 25,5061 25,5061 193,2852258 193,0301648 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-29 7,573 7,563 25,6576 25,6576 194,3050048 194,0484288 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-30 7,633 7,623 25,5578 25,5578 195,0826874 194,8271094 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-08-31 7,668 7,658 25,7533 25,7533 197,4763044 197,2187714 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-01 7,568 7,558 25,7005 25,7005 194,501384 194,244379 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-02 7,435 7,425 25,5861 25,5861 190,2326535 189,9767925 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-05 7,41 7,4 25,5846 25,5846 189,581886 189,32604 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-06 7,485 7,475 25,8963 25,8963 193,8338055 193,5748425 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-07 7,43 7,42 26,0171 26,0171 193,307053 193,046882 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-08 7,498 7,488 25,8393 25,8393 193,7430714 193,4846784 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-09 7,523 7,513 26,0209 26,0209 195,7552307 195,4950217 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-12 7,555 7,545 26,0288 26,0288 196,647584 196,387296 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-13 7,57 7,56 25,8751 25,8751 195,874507 195,615756 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-14 7,61 7,6 25,7162 25,7162 195,700282 195,44312 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-15 7,658 7,648 25,7368 25,7368 197,0924144 196,8350464 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-16 7,613 7,603 25,9242 25,9242 197,3609346 197,1016926 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-19 7,698 7,688 25,6628 25,6628 197,5522344 197,2956064 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-20 7,688 7,678 25,4526 25,4526 195,6795888 195,4250628 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-21 7,663 7,653 25,1423 25,1423 192,6654449 192,4140219 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-22 7,648 7,638 25,2197 25,2197 192,8802656 192,6280686 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-23 7,733 7,723 25,3678 25,3678 196,1691974 195,9155194 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-26 7,798 7,788 25,3729 25,3729 197,8578742 197,6041452 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-27 7,825 7,815 25,3851 25,3851 198,6384075 198,3845565 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-28 7,81 7,8 25,441 25,441 198,69421 198,4398 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-29 7,785 7,775 25,7514 25,7514 200,474649 200,217135 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-09-30 7,785 7,775 25,8823 25,8823 201,4937055 201,2348825 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-03 7,783 7,773 25,9375 25,9375 201,8715625 201,6121875 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-04 7,82 7,81 25,6689 25,6689 200,730798 200,474109 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-05 7,795 7,785 25,2689 25,2689 196,9710755 196,7183865 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-06 7,713 7,703 25,0823 25,0823 193,4597799 193,2089569 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-07 7,683 7,673 25,1848 25,1848 193,4948184 193,2429704 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-10 7,698 7,688 24,9778 24,9778 192,2791044 192,0293264 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-11 7,77 7,76 24,9146 24,9146 193,586442 193,337296 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-12 7,805 7,795 24,6699 24,6699 192,5485695 192,3018705 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-13 7,83 7,82 24,7071 24,7071 193,456593 193,209522 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-14 7,833 7,823 24,9519 24,9519 195,4482327 195,1987137 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-17 7,835 7,825 25,0536 25,0536 196,294956 196,04442 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-18 7,893 7,883 24,8522 24,8522 196,1584146 195,9098926 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-19 7,96 7,95 25,2417 25,2417 200,923932 200,671515 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-20 7,93 7,92 24,9079 24,9079 197,519647 197,270568 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-21 7,883 7,873 25,042 25,042 197,406086 197,155666 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-24 7,995 7,985 25,4342 25,4342 203,346429 203,092087 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-25 7,99 7,98 25,2919 25,2919 202,082281 201,829362 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-26 7,868 7,858 25,1229 25,1229 197,6669772 197,4157482 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-27 7,868 7,858 24,7997 24,7997 195,1240396 194,8760426 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-28 7,825 7,815 25,1217 25,1217 196,5773025 196,3260855 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-10-31 7,905 7,895 25,4275 25,4275 201,0043875 200,7501125 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-02 7,98 7,97 25,7808 25,7808 205,730784 205,472976 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-03 8,01 8 25,9508 25,9508 207,865908 207,6064 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-04 8,028 8,018 26,0071 26,0071 208,7849988 208,5249278 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-07 8,135 8,125 26,0509 26,0509 211,9240715 211,6635625 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-08 8,17 8,16 25,9416 25,9416 211,942872 211,683456 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-09 8,12 8,11 25,9604 25,9604 210,798448 210,538844 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-10 8,173 8,163 26,2106 26,2106 214,2192338 213,9571278 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-14 8,133 8,123 26,2139 26,2139 213,1976487 212,9355097 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-15 8,185 8,175 26,1172 26,1172 213,769282 213,50811 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-16 8,21 8,2 26,1475 26,1475 214,670975 214,4095 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-17 8,258 8,248 26,6004 26,6004 219,6661032 219,4000992 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-18 8,223 8,213 26,715 26,715 219,677445 219,410295 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-21 8,123 8,113 26,8881 26,8881 218,4120363 218,1431553 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-22 8,15 8,14 27,0088 27,0088 220,12172 219,851632 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-23 8,048 8,038 27,1115 27,1115 218,193352 217,922237 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-24 8,053 8,043 27,1101 27,1101 218,3176353 218,0465343 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-25 8,078 8,068 27,1074 27,1074 218,9735772 218,7025032 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-28 8,118 8,108 26,8727 26,8727 218,1525786 217,8838516 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-29 8,015 8,005 26,7679 26,7679 214,5447185 214,2770395 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-11-30 8,088 8,078 26,6662 26,6662 215,6762256 215,4095636 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-01 8,083 8,073 27,047 27,047 218,620901 218,350431 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-02 8,103 8,093 27,0584 27,0584 219,2542152 218,9836312 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-05 8,045 8,035 26,9091 26,9091 216,4837095 216,2146185 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-06 7,993 7,983 26,9464 26,9464 215,3825752 215,1131112 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-07 8,015 8,005 26,7989 26,7989 214,7931835 214,5251945 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-08 7,988 7,978 26,7314 26,7314 213,5304232 213,2631092 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-12 7,953 7,943 26,8979 26,8979 213,9189987 213,6500197 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-13 7,905 7,895 27,0008 27,0008 213,441324 213,171316 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-14 7,848 7,838 27,011 27,011 211,982328 211,712218 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-15 7,858 7,848 26,9845 26,9845 212,044201 211,774356 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-16 7,903 7,893 26,9263 26,9263 212,7985489 212,5292859 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-19 7,865 7,855 26,6089 26,6089 209,2789985 209,0129095 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-20 7,848 7,838 26,5614 26,5614 208,4538672 208,1882532 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-21 7,948 7,938 26,6496 26,6496 211,8110208 211,5445248 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-22 7,98 7,97 26,8208 26,8208 214,029984 213,761776 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-23 7,955 7,945 26,8492 26,8492 213,585386 213,316894 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-27 8,01 8 26,6027 26,6027 213,087627 212,8216 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-28 7,915 7,905 26,6406 26,6406 210,860349 210,593943 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-29 7,938 7,928 26,5487 26,5487 210,7435806 210,4780936 477661 SG Asset Management S.A. SGAM Fund Equities US Multi Strategies USD 2005-12-30 7,958 7,948 26,3725 26,3725 209,872355 209,60863 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-03 6,668 6,658 22,8745 22,8745 152,527166 152,298421 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-04 6,728 6,718 22,4506 22,4506 151,0476368 150,8231308 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-05 6,828 6,818 22,0521 22,0521 150,5717388 150,3512178 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-07 6,87 6,86 21,9026 21,9026 150,470862 150,251836 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-10 6,96091 6,95091 22,0962 22,0962 153,809659542 153,588697542 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-11 6,96091 6,95091 21,8654 21,8654 152,203081514 151,984427514 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-12 6,913 6,903 22,0308 22,0308 152,2989204 152,0786124 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-13 6,843 6,833 21,9432 21,9432 150,1573176 149,9378856 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-14 6,915 6,905 22,1332 22,1332 153,051078 152,829746 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-17 6,915 6,905 22,1349 22,1349 153,0628335 152,8414845 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-18 6,968 6,958 22,3839 22,3839 155,9710152 155,7471762 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-19 6,91 6,9 22,1335 22,1335 152,942485 152,72115 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-20 6,96 6,95 21,9642 21,9642 152,870832 152,65119 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-21 6,978 6,968 21,8763 21,8763 152,6528214 152,4340584 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-24 6,933 6,923 21,5686 21,5686 149,5351038 149,3194178 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-25 6,95 6,94 21,5677 21,5677 149,895515 149,679838 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-26 6,995 6,985 21,9438 21,9438 153,496881 153,277443 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-27 6,93 6,92 21,9854 21,9854 152,358822 152,138968 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-28 6,985 6,975 21,8188 21,8188 152,404318 152,18613 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-01-31 6,998 6,988 22,1716 22,1716 155,1568568 154,9351408 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-01 6,993 6,983 22,3089 22,3089 156,0061377 155,7830487 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-02 6,953 6,943 22,5686 22,5686 156,9194758 156,6937898 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-03 6,968 6,958 22,5241 22,5241 156,9479288 156,7226878 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-04 7,01 7 22,7128 22,7128 159,216728 158,9896 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-07 7,065 7,055 22,736 22,736 160,62984 160,40248 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-08 7,123 7,113 22,6706 22,6706 161,4826838 161,2559778 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-09 7,1 7,09 22,2811 22,2811 158,19581 157,972999 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-10 7,088 7,078 22,3397 22,3397 158,3437936 158,1203966 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-11 7,068 7,058 22,5697 22,5697 159,5226396 159,2969426 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-14 7,03 7,02 22,6282 22,6282 159,076246 158,849964 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-15 7,005 6,995 22,6773 22,6773 158,8544865 158,6277135 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-16 6,973 6,963 22,8398 22,8398 159,2619254 159,0335274 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-17 6,97 6,96 22,6089 22,6089 157,584033 157,357944 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-18 6,965 6,955 22,5677 22,5677 157,1840305 156,9583535 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-21 6,978 6,968 22,5623 22,5623 157,4397294 157,2141064 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-22 6,905 6,895 22,2259 22,2259 153,4698395 153,2475805 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-23 6,895 6,885 22,3407 22,3407 154,0391265 153,8157195 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-24 6,858 6,848 22,5317 22,5317 154,5223986 154,2970816 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-25 6,885 6,875 22,8579 22,8579 157,3766415 157,1480625 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-02-28 6,828 6,818 22,7829 22,7829 155,5616412 155,3338122 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-01 6,87 6,86 23,0303 23,0303 158,218161 157,987858 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-02 6,888 6,878 22,9346 22,9346 157,9735248 157,7441788 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-03 6,903 6,893 23,0083 23,0083 158,8262949 158,5962119 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-04 6,9 6,89 23,2534 23,2534 160,44846 160,215926 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-07 6,84 6,83 23,2449 23,2449 158,995116 158,762667 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-08 6,825 6,815 23,0101 23,0101 157,0439325 156,8138315 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-09 6,76 6,75 22,8145 22,8145 154,22602 153,997875 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-10 6,745 6,735 22,7006 22,7006 153,115547 152,888541 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-11 6,765 6,755 22,6515 22,6515 153,2373975 153,0108825 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-14 6,76 6,75 22,754 22,754 153,81704 153,5895 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-15 6,815 6,805 22,6746 22,6746 154,527399 154,300653 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-16 6,81 6,8 22,5453 22,5453 153,533493 153,30804 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-17 6,795 6,785 22,6274 22,6274 153,753183 153,526909 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-18 6,828 6,818 22,5598 22,5598 154,0383144 153,8127164 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-21 6,908 6,898 22,5842 22,5842 156,0116536 155,7858116 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-22 6,928 6,918 22,499 22,499 155,873072 155,648082 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-23 6,973 6,963 22,2852 22,2852 155,3946996 155,1718476 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-24 7,008 6,998 22,3617 22,3617 156,7107936 156,4871766 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-29 7,055 7,045 21,9929 21,9929 155,1599095 154,9399805 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-30 7,053 7,043 22,3455 22,3455 157,6028115 157,3793565 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-03-31 7,065 7,055 22,3455 22,3455 157,8709575 157,6475025 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-01 7,07 7,06 22,2789 22,2789 157,511823 157,289034 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-04 7,113 7,103 22,2844 22,2844 158,5089372 158,2860932 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-05 7,163 7,153 22,2828 22,2828 159,6116964 159,3888684 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-06 7,125 7,115 22,3519 22,3519 159,2572875 159,0337685 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-07 7,083 7,073 22,5122 22,5122 159,4539126 159,2287906 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-08 7,153 7,143 22,2655 22,2655 159,2651215 159,0424665 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-11 7,098 7,088 22,1502 22,1502 157,2221196 157,0006176 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-12 7,048 7,038 22,2591 22,2591 156,8821368 156,6595458 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-13 7,075 7,065 21,9364 21,9364 155,20003 154,980666 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-14 7,12 7,11 21,5918 21,5918 153,733616 153,517698 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-15 7,17 7,16 21,2569 21,2569 152,411973 152,199404 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-18 7,08 7,07 21,413 21,413 151,60404 151,38991 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-19 7,068 7,058 21,6479 21,6479 153,0073572 152,7908782 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-20 7,043 7,033 21,3486 21,3486 150,3581898 150,1447038 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-21 7,025 7,015 21,6616 21,6616 152,17274 151,956124 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-22 7,023 7,013 21,3769 21,3769 150,1299687 149,9161997 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-25 7,04 7,03 21,5472 21,5472 151,692288 151,476816 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-26 7,035 7,025 21,1779 21,1779 148,9865265 148,7747475 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-27 7,085 7,075 21,181 21,181 150,067385 149,855575 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-28 7,085 7,075 20,8461 20,8461 147,6946185 147,4861575 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-04-29 7,08 7,07 20,9543 20,9543 148,356444 148,146901 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-02 7,15 7,14 21,0359 21,0359 150,406685 150,196326 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-03 7,178 7,168 21,0121 21,0121 150,8248538 150,6147328 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-04 7,11 7,1 21,3524 21,3524 151,815564 151,60204 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-06 7,085 7,075 21,4019 21,4019 151,6324615 151,4184425 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-09 7,168 7,158 21,5623 21,5623 154,5585664 154,3429434 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-10 7,178 7,168 21,3304 21,3304 153,1096112 152,8963072 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-11 7,15 7,14 21,2993 21,2993 152,289995 152,077002 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-12 7,243 7,233 21,0475 21,0475 152,4470425 152,2365675 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-13 7,265 7,255 21,1495 21,1495 153,6511175 153,4396225 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-17 7,313 7,303 21,2454 21,2454 155,3676102 155,1551562 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-18 7,3 7,29 21,5979 21,5979 157,66467 157,448691 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-19 7,26 7,25 21,6868 21,6868 157,446168 157,2293 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-20 7,28 7,27 21,6465 21,6465 157,58652 157,370055 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-23 7,32 7,31 21,792 21,792 159,51744 159,29952 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-24 7,295 7,285 21,7957 21,7957 158,9996315 158,7816745 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-25 7,298 7,288 21,6476 21,6476 157,9841848 157,7677088 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-26 7,33 7,32 21,9918 21,9918 161,199894 160,979976 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-27 7,338 7,328 22,0305 22,0305 161,659809 161,439504 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-30 7,338 7,328 22,0275 22,0275 161,637795 161,41752 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-05-31 7,403 7,393 22,1037 22,1037 163,6336911 163,4126541 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-01 7,428 7,418 22,3241 22,3241 165,8234148 165,6001738 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-02 7,473 7,463 22,3867 22,3867 167,2958091 167,0719421 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-03 7,438 7,428 22,3126 22,3126 165,9611188 165,7379928 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-07 7,448 7,438 22,4344 22,4344 167,0914112 166,8670672 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-08 7,435 7,425 22,3297 22,3297 166,0213195 165,7980225 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-09 7,523 7,513 22,5719 22,5719 169,8084037 169,5826847 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-10 7,525 7,515 22,6373 22,6373 170,3456825 170,1193095 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-13 7,643 7,633 22,7464 22,7464 173,8507352 173,6232712 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-14 7,663 7,653 22,8992 22,8992 175,4765696 175,2475776 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-15 7,693 7,683 23,0076 23,0076 176,9974668 176,7673908 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-16 7,678 7,668 23,1615 23,1615 177,833997 177,602382 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-17 7,643 7,633 23,1632 23,1632 177,0363376 176,8047056 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-20 7,543 7,533 23,1429 23,1429 174,5668947 174,3354657 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-21 7,648 7,638 23,1826 23,1826 177,3005248 177,0686988 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-22 7,608 7,598 23,0006 23,0006 174,9885648 174,7585588 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-27 7,73 7,72 22,6968 22,6968 175,446264 175,219296 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-28 7,76 7,75 23,1971 23,1971 180,009496 179,777525 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-29 7,833 7,823 23,226 23,226 181,929258 181,696998 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-06-30 7,823 7,813 23,0594 23,0594 180,3936862 180,1630922 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-01 7,858 7,848 23,1556 23,1556 181,9567048 181,7251488 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-04 7,945 7,935 23,154 23,154 183,95853 183,72699 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-05 7,963 7,953 23,4471 23,4471 186,7092573 186,4747863 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-06 7,895 7,885 23,287 23,287 183,850865 183,617995 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-07 7,878 7,868 23,3676 23,3676 184,0899528 183,8562768 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-08 7,913 7,903 23,7437 23,7437 187,8838981 187,6464611 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-11 7,89 7,88 24,0461 24,0461 189,723729 189,483268 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-12 7,77 7,76 23,997 23,997 186,45669 186,21672 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-13 7,703 7,693 23,9584 23,9584 184,5515552 184,3119712 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-15 7,76 7,75 23,7997 23,7997 184,685672 184,447675 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-18 7,78 7,77 23,6211 23,6211 183,772158 183,535947 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-19 7,878 7,868 23,9371 23,9371 188,5764738 188,3371028 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-20 7,818 7,808 24,237 24,237 189,484866 189,242496 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-21 7,775 7,765 23,9175 23,9175 185,9585625 185,7193875 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-22 7,758 7,748 24,2058 24,2058 187,7885964 187,5465384 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-25 7,838 7,828 23,9946 23,9946 188,0696748 187,8297288 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-26 7,818 7,808 24,1792 24,1792 189,0329856 188,7911936 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-27 7,905 7,895 24,2412 24,2412 191,626686 191,384274 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-28 7,848 7,838 24,4749 24,4749 192,0790152 191,8342662 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-07-29 7,748 7,738 24,3669 24,3669 188,7947412 188,5510722 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-01 7,72 7,71 24,495 24,495 189,1014 188,85645 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-02 7,7 7,69 24,7287 24,7287 190,41099 190,163703 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-03 7,685 7,675 24,4567 24,4567 187,9497395 187,7051725 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-04 7,618 7,608 24,028 24,028 183,045304 182,805024 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-05 7,548 7,538 23,7746 23,7746 179,4506808 179,2129348 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-08 7,558 7,548 23,6942 23,6942 179,0807636 178,8438216 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-09 7,548 7,538 23,8021 23,8021 179,6582508 179,4202298 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-10 7,558 7,548 23,6708 23,6708 178,9039064 178,6671984 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-11 7,523 7,513 23,8849 23,8849 179,6861027 179,4472537 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-12 7,46 7,45 23,7902 23,7902 177,474892 177,23699 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-16 7,523 7,513 23,5009 23,5009 176,7972707 176,5622617 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-17 7,605 7,595 23,5243 23,5243 178,9023015 178,6670585 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-18 7,61 7,6 23,4651 23,4651 178,569411 178,33476 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-19 7,698 7,688 23,4876 23,4876 180,8075448 180,5726688 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-22 7,69 7,68 23,6475 23,6475 181,849275 181,6128 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-23 7,663 7,653 23,593 23,593 180,793159 180,557229 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-24 7,673 7,663 23,4606 23,4606 180,0131838 179,7785778 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-25 7,588 7,578 23,5985 23,5985 179,065418 178,829433 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-26 7,578 7,568 23,3015 23,3015 176,578767 176,345752 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-29 7,573 7,563 23,4969 23,4969 177,9420237 177,7070547 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-30 7,633 7,623 23,4915 23,4915 179,3106195 179,0757045 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-08-31 7,668 7,658 23,9123 23,9123 183,3595164 183,1203934 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-01 7,568 7,558 23,8634 23,8634 180,5982112 180,3595772 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-02 7,435 7,425 23,7733 23,7733 176,7544855 176,5167525 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-05 7,41 7,4 23,7721 23,7721 176,151261 175,91354 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-06 7,485 7,475 24,0281 24,0281 179,8503285 179,6100475 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-07 7,43 7,42 24,0944 24,0944 179,021392 178,780448 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-08 7,498 7,488 23,999 23,999 179,944502 179,704512 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-09 7,523 7,513 24,1445 24,1445 181,6390735 181,3976285 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-12 7,555 7,545 24,1896 24,1896 182,752428 182,510532 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-13 7,57 7,56 23,9179 23,9179 181,058503 180,819324 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-14 7,61 7,6 23,7163 23,7163 180,481043 180,24388 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-15 7,658 7,648 23,6689 23,6689 181,2564362 181,0197472 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-16 7,613 7,603 23,7342 23,7342 180,6884646 180,4511226 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-19 7,698 7,688 23,5391 23,5391 181,2039918 180,9686008 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-20 7,688 7,678 23,359 23,359 179,583992 179,350402 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-21 7,663 7,653 23,0017 23,0017 176,2620271 176,0320101 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-22 7,648 7,638 23,0576 23,0576 176,3445248 176,1139488 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-23 7,733 7,723 23,1652 23,1652 179,1364916 178,9048396 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-26 7,798 7,788 23,2119 23,2119 181,0063962 180,7742772 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-27 7,825 7,815 23,2225 23,2225 181,7160625 181,4838375 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-28 7,81 7,8 23,1745 23,1745 180,992845 180,7611 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-29 7,785 7,775 23,426 23,426 182,37141 182,13715 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-09-30 7,785 7,775 23,6146 23,6146 183,839661 183,603515 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-03 7,783 7,773 23,7248 23,7248 184,6501184 184,4128704 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-04 7,82 7,81 23,5343 23,5343 184,038226 183,802883 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-05 7,795 7,785 22,925 22,925 178,700375 178,471125 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-06 7,713 7,703 22,7684 22,7684 175,6126692 175,3849852 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-07 7,683 7,673 22,8832 22,8832 175,8116256 175,5827936 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-10 7,698 7,688 22,7165 22,7165 174,871617 174,644452 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-11 7,77 7,76 22,3847 22,3847 173,929119 173,705272 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-12 7,805 7,795 22,107 22,107 172,545135 172,324065 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-13 7,83 7,82 22,2409 22,2409 174,146247 173,923838 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-14 7,833 7,823 22,5913 22,5913 176,9576529 176,7317399 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-17 7,835 7,825 22,5764 22,5764 176,886094 176,66033 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-18 7,893 7,883 22,2981 22,2981 175,9989033 175,7759223 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-19 7,96 7,95 22,5821 22,5821 179,753516 179,527695 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-20 7,93 7,92 22,2354 22,2354 176,326722 176,104368 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-21 7,883 7,873 22,3959 22,3959 176,5468797 176,3229207 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-24 7,995 7,985 22,768 22,768 182,03016 181,80248 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-25 7,99 7,98 22,6305 22,6305 180,817695 180,59139 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-26 7,868 7,858 22,4335 22,4335 176,506778 176,282443 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-27 7,868 7,858 22,0716 22,0716 173,6593488 173,4386328 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-28 7,825 7,815 22,3464 22,3464 174,86058 174,637116 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-10-31 7,905 7,895 22,5472 22,5472 178,235616 178,010144 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-02 7,98 7,97 22,9326 22,9326 183,002148 182,772822 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-03 8,01 8 22,9646 22,9646 183,946446 183,7168 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-04 8,028 8,018 22,9672 22,9672 184,3806816 184,1510096 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-07 8,135 8,125 23,0714 23,0714 187,685839 187,455125 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-08 8,17 8,16 22,8556 22,8556 186,730252 186,501696 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-09 8,12 8,11 22,9442 22,9442 186,306904 186,077462 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-10 8,173 8,163 23,0906 23,0906 188,7194738 188,4885678 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-14 8,133 8,123 23,1145 23,1145 187,9902285 187,7590835 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-15 8,185 8,175 22,8908 22,8908 187,361198 187,13229 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-16 8,21 8,2 22,8024 22,8024 187,207704 186,97968 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-17 8,258 8,248 23,1888 23,1888 191,4931104 191,2612224 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-18 8,223 8,213 23,3625 23,3625 192,1098375 191,8762125 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-21 8,123 8,113 23,5151 23,5151 191,0131573 190,7780063 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-22 8,15 8,14 23,5975 23,5975 192,319625 192,08365 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-23 8,048 8,038 23,646 23,646 190,303008 190,066548 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-24 8,053 8,043 23,6447 23,6447 190,4107691 190,1743221 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-25 8,078 8,068 23,6573 23,6573 191,1036694 190,8670964 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-28 8,118 8,108 23,2745 23,2745 188,942391 188,709646 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-29 8,015 8,005 23,3706 23,3706 187,315359 187,081653 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-11-30 8,088 8,078 23,6034 23,6034 190,9042992 190,6682652 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-01 8,083 8,073 23,9808 23,9808 193,8368064 193,5969984 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-02 8,103 8,093 23,9985 23,9985 194,4598455 194,2198605 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-05 8,045 8,035 23,9264 23,9264 192,487888 192,248624 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-06 7,993 7,983 24,0063 24,0063 191,8823559 191,6422929 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-07 8,015 8,005 23,8894 23,8894 191,473541 191,234647 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-08 7,988 7,978 23,9689 23,9689 191,4635732 191,2238842 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-12 7,953 7,943 24,1603 24,1603 192,1468659 191,9052629 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-13 7,905 7,895 24,1052 24,1052 190,551606 190,310554 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-14 7,848 7,838 24,2815 24,2815 190,561212 190,318397 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-15 7,858 7,848 24,1639 24,1639 189,8799262 189,6382872 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-16 7,903 7,893 24,1574 24,1574 190,9159322 190,6743582 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-19 7,865 7,855 23,819 23,819 187,336435 187,098245 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-20 7,848 7,838 23,7787 23,7787 186,6152376 186,3774506 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-21 7,948 7,938 24,1534 24,1534 191,9712232 191,7296892 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-22 7,98 7,97 24,3771 24,3771 194,529258 194,285487 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-23 7,955 7,945 24,4711 24,4711 194,6676005 194,4228895 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-27 8,01 8 24,211 24,211 193,93011 193,688 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-28 7,915 7,905 24,2938 24,2938 192,285427 192,042489 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-29 7,938 7,928 24,3033 24,3033 192,9195954 192,6765624 421230 SG Asset Management S.A. SGAM Fund Equities US Small Cap Value USD 2005-12-30 7,958 7,948 24,1712 24,1712 192,3544096 192,1126976 722983 Simplicity AB Simplicity Indien SEK 2005-01-14 1 1 103,12 103,12 103,12 103,12 722983 Simplicity AB Simplicity Indien SEK 2005-01-17 1 1 103,1 103,1 103,1 103,1 722983 Simplicity AB Simplicity Indien SEK 2005-01-18 1 1 103,1 103,1 103,1 103,1 722983 Simplicity AB Simplicity Indien SEK 2005-01-19 1 1 103,11 103,11 103,11 103,11 722983 Simplicity AB Simplicity Indien SEK 2005-01-20 1 1 103,37 103,37 103,37 103,37 722983 Simplicity AB Simplicity Indien SEK 2005-01-21 1 1 103,37 103,37 103,37 103,37 722983 Simplicity AB Simplicity Indien SEK 2005-01-24 1 1 103,12 103,12 103,12 103,12 722983 Simplicity AB Simplicity Indien SEK 2005-01-25 1 1 103,12 103,12 103,12 103,12 722983 Simplicity AB Simplicity Indien SEK 2005-01-27 1 1 103,12 103,12 103,12 103,12 722983 Simplicity AB Simplicity Indien SEK 2005-01-28 1 1 104,35 104,35 104,35 104,35 722983 Simplicity AB Simplicity Indien SEK 2005-01-31 1 1 104,98 104,98 104,98 104,98 722983 Simplicity AB Simplicity Indien SEK 2005-02-01 1 1 105,54 105,54 105,54 105,54 722983 Simplicity AB Simplicity Indien SEK 2005-02-02 1 1 106,33 106,33 106,33 106,33 722983 Simplicity AB Simplicity Indien SEK 2005-02-03 1 1 109,49 109,49 109,49 109,49 722983 Simplicity AB Simplicity Indien SEK 2005-02-04 1 1 109,36 109,36 109,36 109,36 722983 Simplicity AB Simplicity Indien SEK 2005-02-07 1 1 111,98 111,98 111,98 111,98 722983 Simplicity AB Simplicity Indien SEK 2005-02-08 1 1 110,87 110,87 110,87 110,87 722983 Simplicity AB Simplicity Indien SEK 2005-02-09 1 1 113,59 113,59 113,59 113,59 722983 Simplicity AB Simplicity Indien SEK 2005-02-10 1 1 113,57 113,57 113,57 113,57 722983 Simplicity AB Simplicity Indien SEK 2005-02-11 1 1 113,12 113,12 113,12 113,12 722983 Simplicity AB Simplicity Indien SEK 2005-02-14 1 1 112,01 112,01 112,01 112,01 722983 Simplicity AB Simplicity Indien SEK 2005-02-15 1 1 109,99 109,99 109,99 109,99 722983 Simplicity AB Simplicity Indien SEK 2005-02-16 1 1 109,63 109,63 109,63 109,63 722983 Simplicity AB Simplicity Indien SEK 2005-02-17 1 1 108,94 108,94 108,94 108,94 722983 Simplicity AB Simplicity Indien SEK 2005-02-18 1 1 108,2 108,2 108,2 108,2 722983 Simplicity AB Simplicity Indien SEK 2005-02-21 1 1 107,36 107,36 107,36 107,36 722983 Simplicity AB Simplicity Indien SEK 2005-02-22 1 1 107,15 107,15 107,15 107,15 722983 Simplicity AB Simplicity Indien SEK 2005-02-23 1 1 107,65 107,65 107,65 107,65 722983 Simplicity AB Simplicity Indien SEK 2005-02-24 1 1 106,65 106,65 106,65 106,65 722983 Simplicity AB Simplicity Indien SEK 2005-02-25 1 1 106,75 106,75 106,75 106,75 722983 Simplicity AB Simplicity Indien SEK 2005-02-28 1 1 107,67 107,67 107,67 107,67 722983 Simplicity AB Simplicity Indien SEK 2005-03-01 1 1 107,54 107,54 107,54 107,54 722983 Simplicity AB Simplicity Indien SEK 2005-03-02 1 1 110,03 110,03 110,03 110,03 722983 Simplicity AB Simplicity Indien SEK 2005-03-03 1 1 111,12 111,12 111,12 111,12 722983 Simplicity AB Simplicity Indien SEK 2005-03-04 1 1 112,09 112,09 112,09 112,09 722983 Simplicity AB Simplicity Indien SEK 2005-03-07 1 1 112,07 112,07 112,07 112,07 722983 Simplicity AB Simplicity Indien SEK 2005-03-08 1 1 112,95 112,95 112,95 112,95 722983 Simplicity AB Simplicity Indien SEK 2005-03-09 1 1 109,89 109,89 109,89 109,89 722983 Simplicity AB Simplicity Indien SEK 2005-03-10 1 1 110,34 110,34 110,34 110,34 722983 Simplicity AB Simplicity Indien SEK 2005-03-11 1 1 109,12 109,12 109,12 109,12 722983 Simplicity AB Simplicity Indien SEK 2005-03-14 1 1 110,22 110,22 110,22 110,22 722983 Simplicity AB Simplicity Indien SEK 2005-03-15 1 1 109,88 109,88 109,88 109,88 722983 Simplicity AB Simplicity Indien SEK 2005-03-16 1 1 109,42 109,42 109,42 109,42 722983 Simplicity AB Simplicity Indien SEK 2005-03-17 1 1 108,37 108,37 108,37 108,37 722983 Simplicity AB Simplicity Indien SEK 2005-03-18 1 1 109,23 109,23 109,23 109,23 722983 Simplicity AB Simplicity Indien SEK 2005-03-21 1 1 108,99 108,99 108,99 108,99 722983 Simplicity AB Simplicity Indien SEK 2005-03-22 1 1 106,02 106,02 106,02 106,02 722983 Simplicity AB Simplicity Indien SEK 2005-03-23 1 1 104,26 104,26 104,26 104,26 722983 Simplicity AB Simplicity Indien SEK 2005-03-24 1 1 103,78 103,78 103,78 103,78 722983 Simplicity AB Simplicity Indien SEK 2005-03-29 1 1 102,54 102,54 102,54 102,54 722983 Simplicity AB Simplicity Indien SEK 2005-03-30 1 1 104,02 104,02 104,02 104,02 722983 Simplicity AB Simplicity Indien SEK 2005-03-31 1 1 107,18 107,18 107,18 107,18 722983 Simplicity AB Simplicity Indien SEK 2005-04-01 1 1 110,29 110,29 110,29 110,29 722983 Simplicity AB Simplicity Indien SEK 2005-04-04 1 1 111,59 111,59 111,59 111,59 722983 Simplicity AB Simplicity Indien SEK 2005-04-05 1 1 111,16 111,16 111,16 111,16 722983 Simplicity AB Simplicity Indien SEK 2005-04-06 1 1 112,51 112,51 112,51 112,51 722983 Simplicity AB Simplicity Indien SEK 2005-04-07 1 1 111,94 111,94 111,94 111,94 722983 Simplicity AB Simplicity Indien SEK 2005-04-08 1 1 111,94 111,94 111,94 111,94 722983 Simplicity AB Simplicity Indien SEK 2005-04-11 1 1 109,92 109,92 109,92 109,92 722983 Simplicity AB Simplicity Indien SEK 2005-04-12 1 1 110,89 110,89 110,89 110,89 722983 Simplicity AB Simplicity Indien SEK 2005-04-13 1 1 111,28 111,28 111,28 111,28 722983 Simplicity AB Simplicity Indien SEK 2005-04-15 1 1 109,12 109,12 109,12 109,12 722983 Simplicity AB Simplicity Indien SEK 2005-04-18 1 1 106,94 106,94 106,94 106,94 722983 Simplicity AB Simplicity Indien SEK 2005-04-19 1 1 106,71 106,71 106,71 106,71 722983 Simplicity AB Simplicity Indien SEK 2005-04-20 1 1 107,42 107,42 107,42 107,42 722983 Simplicity AB Simplicity Indien SEK 2005-04-21 1 1 108,58 108,58 108,58 108,58 722983 Simplicity AB Simplicity Indien SEK 2005-04-22 1 1 110,06 110,06 110,06 110,06 722983 Simplicity AB Simplicity Indien SEK 2005-04-25 1 1 110,68 110,68 110,68 110,68 722983 Simplicity AB Simplicity Indien SEK 2005-04-26 1 1 110,51 110,51 110,51 110,51 722983 Simplicity AB Simplicity Indien SEK 2005-04-27 1 1 109,84 109,84 109,84 109,84 722983 Simplicity AB Simplicity Indien SEK 2005-04-28 1 1 109,15 109,15 109,15 109,15 722983 Simplicity AB Simplicity Indien SEK 2005-04-29 1 1 107,23 107,23 107,23 107,23 722983 Simplicity AB Simplicity Indien SEK 2005-05-02 1 1 107,14 107,14 107,14 107,14 722983 Simplicity AB Simplicity Indien SEK 2005-05-03 1 1 107,65 107,65 107,65 107,65 722983 Simplicity AB Simplicity Indien SEK 2005-05-04 1 1 107,94 107,94 107,94 107,94 722983 Simplicity AB Simplicity Indien SEK 2005-05-06 1 1 109,8 109,8 109,8 109,8 722983 Simplicity AB Simplicity Indien SEK 2005-05-09 1 1 112,11 112,11 112,11 112,11 722983 Simplicity AB Simplicity Indien SEK 2005-05-10 1 1 112,08 112,08 112,08 112,08 722983 Simplicity AB Simplicity Indien SEK 2005-05-11 1 1 111,59 111,59 111,59 111,59 722983 Simplicity AB Simplicity Indien SEK 2005-05-12 1 1 114,08 114,08 114,08 114,08 722983 Simplicity AB Simplicity Indien SEK 2005-05-13 1 1 115,4 115,4 115,4 115,4 722983 Simplicity AB Simplicity Indien SEK 2005-05-16 1 1 116,97 116,97 116,97 116,97 722983 Simplicity AB Simplicity Indien SEK 2005-05-17 1 1 115,43 115,43 115,43 115,43 722983 Simplicity AB Simplicity Indien SEK 2005-05-18 1 1 115,13 115,13 115,13 115,13 722983 Simplicity AB Simplicity Indien SEK 2005-05-19 1 1 115,4 115,4 115,4 115,4 722983 Simplicity AB Simplicity Indien SEK 2005-05-20 1 1 116,06 116,06 116,06 116,06 722983 Simplicity AB Simplicity Indien SEK 2005-05-23 1 1 117,28 117,28 117,28 117,28 722983 Simplicity AB Simplicity Indien SEK 2005-05-24 1 1 117,22 117,22 117,22 117,22 722983 Simplicity AB Simplicity Indien SEK 2005-05-25 1 1 117,58 117,58 117,58 117,58 722983 Simplicity AB Simplicity Indien SEK 2005-05-26 1 1 117,82 117,82 117,82 117,82 722983 Simplicity AB Simplicity Indien SEK 2005-05-27 1 1 117,27 117,27 117,27 117,27 722983 Simplicity AB Simplicity Indien SEK 2005-05-30 1 1 116,34 116,34 116,34 116,34 722983 Simplicity AB Simplicity Indien SEK 2005-05-31 1 1 118,29 118,29 118,29 118,29 722983 Simplicity AB Simplicity Indien SEK 2005-06-01 1 1 119,27 119,27 119,27 119,27 722983 Simplicity AB Simplicity Indien SEK 2005-06-02 1 1 118,77 118,77 118,77 118,77 722983 Simplicity AB Simplicity Indien SEK 2005-06-03 1 1 119,27 119,27 119,27 119,27 722983 Simplicity AB Simplicity Indien SEK 2005-06-07 1 1 121,1 121,1 121,1 121,1 722983 Simplicity AB Simplicity Indien SEK 2005-06-08 1 1 121,83 121,83 121,83 121,83 722983 Simplicity AB Simplicity Indien SEK 2005-06-09 1 1 123,2 123,2 123,2 123,2 722983 Simplicity AB Simplicity Indien SEK 2005-06-10 1 1 122,5 122,5 122,5 122,5 722983 Simplicity AB Simplicity Indien SEK 2005-06-13 1 1 122,8 122,8 122,8 122,8 722983 Simplicity AB Simplicity Indien SEK 2005-06-14 1 1 124,8 124,8 124,8 124,8 722983 Simplicity AB Simplicity Indien SEK 2005-06-15 1 1 125,54 125,54 125,54 125,54 722983 Simplicity AB Simplicity Indien SEK 2005-06-16 1 1 123,56 123,56 123,56 123,56 722983 Simplicity AB Simplicity Indien SEK 2005-06-17 1 1 121,43 121,43 121,43 121,43 722983 Simplicity AB Simplicity Indien SEK 2005-06-20 1 1 119,03 119,03 119,03 119,03 722983 Simplicity AB Simplicity Indien SEK 2005-06-21 1 1 120,9 120,9 120,9 120,9 722983 Simplicity AB Simplicity Indien SEK 2005-06-22 1 1 120,33 120,33 120,33 120,33 722983 Simplicity AB Simplicity Indien SEK 2005-06-23 1 1 122,55 122,55 122,55 122,55 722983 Simplicity AB Simplicity Indien SEK 2005-06-27 1 1 123,35 123,35 123,35 123,35 722983 Simplicity AB Simplicity Indien SEK 2005-06-28 1 1 121,65 121,65 121,65 121,65 722983 Simplicity AB Simplicity Indien SEK 2005-06-29 1 1 124,08 124,08 124,08 124,08 722983 Simplicity AB Simplicity Indien SEK 2005-06-30 1 1 124,29 124,29 124,29 124,29 722983 Simplicity AB Simplicity Indien SEK 2005-07-01 1 1 127,42 127,42 127,42 127,42 722983 Simplicity AB Simplicity Indien SEK 2005-07-04 1 1 129,84 129,84 129,84 129,84 722983 Simplicity AB Simplicity Indien SEK 2005-07-05 1 1 129,34 129,34 129,34 129,34 722983 Simplicity AB Simplicity Indien SEK 2005-07-06 1 1 130,53 130,53 130,53 130,53 722983 Simplicity AB Simplicity Indien SEK 2005-07-07 1 1 128,16 128,16 128,16 128,16 722983 Simplicity AB Simplicity Indien SEK 2005-07-08 1 1 130,74 130,74 130,74 130,74 722983 Simplicity AB Simplicity Indien SEK 2005-07-11 1 1 132,44 132,44 132,44 132,44 722983 Simplicity AB Simplicity Indien SEK 2005-07-12 1 1 130,82 130,82 130,82 130,82 722983 Simplicity AB Simplicity Indien SEK 2005-07-13 1 1 129,81 129,81 129,81 129,81 722983 Simplicity AB Simplicity Indien SEK 2005-07-14 1 1 130,99 130,99 130,99 130,99 722983 Simplicity AB Simplicity Indien SEK 2005-07-15 1 1 132,56 132,56 132,56 132,56 722983 Simplicity AB Simplicity Indien SEK 2005-07-18 1 1 134,92 134,92 134,92 134,92 722983 Simplicity AB Simplicity Indien SEK 2005-07-19 1 1 137,65 137,65 137,65 137,65 722983 Simplicity AB Simplicity Indien SEK 2005-07-20 1 1 137,29 137,29 137,29 137,29 722983 Simplicity AB Simplicity Indien SEK 2005-07-21 1 1 135,85 135,85 135,85 135,85 722983 Simplicity AB Simplicity Indien SEK 2005-07-22 1 1 137,66 137,66 137,66 137,66 722983 Simplicity AB Simplicity Indien SEK 2005-07-25 1 1 138,82 138,82 138,82 138,82 722983 Simplicity AB Simplicity Indien SEK 2005-07-26 1 1 138,63 138,63 138,63 138,63 722983 Simplicity AB Simplicity Indien SEK 2005-07-27 1 1 139,77 139,77 139,77 139,77 722983 Simplicity AB Simplicity Indien SEK 2005-07-29 1 1 135,83 135,83 135,83 135,83 722983 Simplicity AB Simplicity Indien SEK 2005-08-01 1 1 136,19 136,19 136,19 136,19 722983 Simplicity AB Simplicity Indien SEK 2005-08-02 1 1 138,24 138,24 138,24 138,24 722983 Simplicity AB Simplicity Indien SEK 2005-08-03 1 1 137,4 137,4 137,4 137,4 722983 Simplicity AB Simplicity Indien SEK 2005-08-04 1 1 137,32 137,32 137,32 137,32 722983 Simplicity AB Simplicity Indien SEK 2005-08-05 1 1 137,45 137,45 137,45 137,45 722983 Simplicity AB Simplicity Indien SEK 2005-08-08 1 1 135,31 135,31 135,31 135,31 722983 Simplicity AB Simplicity Indien SEK 2005-08-09 1 1 134,45 134,45 134,45 134,45 722983 Simplicity AB Simplicity Indien SEK 2005-08-10 1 1 137,98 137,98 137,98 137,98 722983 Simplicity AB Simplicity Indien SEK 2005-08-11 1 1 138,54 138,54 138,54 138,54 722983 Simplicity AB Simplicity Indien SEK 2005-08-12 1 1 137,63 137,63 137,63 137,63 722983 Simplicity AB Simplicity Indien SEK 2005-08-16 1 1 140,16 140,16 140,16 140,16 722983 Simplicity AB Simplicity Indien SEK 2005-08-17 1 1 143,15 143,15 143,15 143,15 722983 Simplicity AB Simplicity Indien SEK 2005-08-18 1 1 142,67 142,67 142,67 142,67 722983 Simplicity AB Simplicity Indien SEK 2005-08-19 1 1 144,22 144,22 144,22 144,22 722983 Simplicity AB Simplicity Indien SEK 2005-08-22 1 1 143,45 143,45 143,45 143,45 722983 Simplicity AB Simplicity Indien SEK 2005-08-23 1 1 138,68 138,68 138,68 138,68 722983 Simplicity AB Simplicity Indien SEK 2005-08-24 1 1 137,25 137,25 137,25 137,25 722983 Simplicity AB Simplicity Indien SEK 2005-08-25 1 1 138,39 138,39 138,39 138,39 722983 Simplicity AB Simplicity Indien SEK 2005-08-26 1 1 141,17 141,17 141,17 141,17 722983 Simplicity AB Simplicity Indien SEK 2005-08-29 1 1 140,64 140,64 140,64 140,64 722983 Simplicity AB Simplicity Indien SEK 2005-08-30 1 1 142,62 142,62 142,62 142,62 722983 Simplicity AB Simplicity Indien SEK 2005-08-31 1 1 144,48 144,48 144,48 144,48 722983 Simplicity AB Simplicity Indien SEK 2005-09-01 1 1 143,26 143,26 143,26 143,26 722983 Simplicity AB Simplicity Indien SEK 2005-09-02 1 1 141,96 141,96 141,96 141,96 722983 Simplicity AB Simplicity Indien SEK 2005-09-05 1 1 142,36 142,36 142,36 142,36 722983 Simplicity AB Simplicity Indien SEK 2005-09-06 1 1 143,52 143,52 143,52 143,52 722983 Simplicity AB Simplicity Indien SEK 2005-09-08 1 1 145,17 145,17 145,17 145,17 722983 Simplicity AB Simplicity Indien SEK 2005-09-09 1 1 145,82 145,82 145,82 145,82 722983 Simplicity AB Simplicity Indien SEK 2005-09-12 1 1 147,93 147,93 147,93 147,93 722983 Simplicity AB Simplicity Indien SEK 2005-09-13 1 1 148,86 148,86 148,86 148,86 722983 Simplicity AB Simplicity Indien SEK 2005-09-14 1 1 148,73 148,73 148,73 148,73 722983 Simplicity AB Simplicity Indien SEK 2005-09-15 1 1 151,69 151,69 151,69 151,69 722983 Simplicity AB Simplicity Indien SEK 2005-09-16 1 1 152,5 152,5 152,5 152,5 722983 Simplicity AB Simplicity Indien SEK 2005-09-19 1 1 155,15 155,15 155,15 155,15 722983 Simplicity AB Simplicity Indien SEK 2005-09-20 1 1 154,62 154,62 154,62 154,62 722983 Simplicity AB Simplicity Indien SEK 2005-09-21 1 1 149,77 149,77 149,77 149,77 722983 Simplicity AB Simplicity Indien SEK 2005-09-22 1 1 141,82 141,82 141,82 141,82 722983 Simplicity AB Simplicity Indien SEK 2005-09-23 1 1 143,82 143,82 143,82 143,82 722983 Simplicity AB Simplicity Indien SEK 2005-09-26 1 1 150,74 150,74 150,74 150,74 722983 Simplicity AB Simplicity Indien SEK 2005-09-27 1 1 151,93 151,93 151,93 151,93 722983 Simplicity AB Simplicity Indien SEK 2005-09-28 1 1 152,5 152,5 152,5 152,5 722983 Simplicity AB Simplicity Indien SEK 2005-09-29 1 1 151,44 151,44 151,44 151,44 722983 Simplicity AB Simplicity Indien SEK 2005-09-30 1 1 150,57 150,57 150,57 150,57 722983 Simplicity AB Simplicity Indien SEK 2005-10-03 1 1 151,76 151,76 151,76 151,76 722983 Simplicity AB Simplicity Indien SEK 2005-10-04 1 1 154,01 154,01 154,01 154,01 722983 Simplicity AB Simplicity Indien SEK 2005-10-05 1 1 151,79 151,79 151,79 151,79 722983 Simplicity AB Simplicity Indien SEK 2005-10-06 1 1 148,42 148,42 148,42 148,42 722983 Simplicity AB Simplicity Indien SEK 2005-10-07 1 1 146,4 146,4 146,4 146,4 722983 Simplicity AB Simplicity Indien SEK 2005-10-10 1 1 144,63 144,63 144,63 144,63 722983 Simplicity AB Simplicity Indien SEK 2005-10-11 1 1 144,3 144,3 144,3 144,3 722983 Simplicity AB Simplicity Indien SEK 2005-10-13 1 1 143,57 143,57 143,57 143,57 722983 Simplicity AB Simplicity Indien SEK 2005-10-14 1 1 140,1 140,1 140,1 140,1 722983 Simplicity AB Simplicity Indien SEK 2005-10-17 1 1 139,17 139,17 139,17 139,17 722983 Simplicity AB Simplicity Indien SEK 2005-10-18 1 1 138,32 138,32 138,32 138,32 722983 Simplicity AB Simplicity Indien SEK 2005-10-19 1 1 135,12 135,12 135,12 135,12 722983 Simplicity AB Simplicity Indien SEK 2005-10-20 1 1 131,71 131,71 131,71 131,71 722983 Simplicity AB Simplicity Indien SEK 2005-10-21 1 1 134,56 134,56 134,56 134,56 722983 Simplicity AB Simplicity Indien SEK 2005-10-24 1 1 135,58 135,58 135,58 135,58 722983 Simplicity AB Simplicity Indien SEK 2005-10-25 1 1 136,21 136,21 136,21 136,21 722983 Simplicity AB Simplicity Indien SEK 2005-10-26 1 1 134,35 134,35 134,35 134,35 722983 Simplicity AB Simplicity Indien SEK 2005-10-27 1 1 131,65 131,65 131,65 131,65 722983 Simplicity AB Simplicity Indien SEK 2005-10-28 1 1 128,22 128,22 128,22 128,22 722983 Simplicity AB Simplicity Indien SEK 2005-10-31 1 1 132,48 132,48 132,48 132,48 722983 Simplicity AB Simplicity Indien SEK 2005-11-02 1 1 135,81 135,81 135,81 135,81 722983 Simplicity AB Simplicity Indien SEK 2005-11-07 1 1 139,4 139,4 139,4 139,4 722983 Simplicity AB Simplicity Indien SEK 2005-11-08 1 1 141,77 141,77 141,77 141,77 722983 Simplicity AB Simplicity Indien SEK 2005-11-09 1 1 141,21 141,21 141,21 141,21 722983 Simplicity AB Simplicity Indien SEK 2005-11-10 1 1 143,14 143,14 143,14 143,14 722983 Simplicity AB Simplicity Indien SEK 2005-11-11 1 1 147,06 147,06 147,06 147,06 722983 Simplicity AB Simplicity Indien SEK 2005-11-14 1 1 145,27 145,27 145,27 145,27 722983 Simplicity AB Simplicity Indien SEK 2005-11-16 1 1 146,76 146,76 146,76 146,76 722983 Simplicity AB Simplicity Indien SEK 2005-11-17 1 1 148,44 148,44 148,44 148,44 722983 Simplicity AB Simplicity Indien SEK 2005-11-18 1 1 148,3 148,3 148,3 148,3 722983 Simplicity AB Simplicity Indien SEK 2005-11-21 1 1 146,23 146,23 146,23 146,23 722983 Simplicity AB Simplicity Indien SEK 2005-11-22 1 1 145,89 145,89 145,89 145,89 722983 Simplicity AB Simplicity Indien SEK 2005-11-23 1 1 145,74 145,74 145,74 145,74 722983 Simplicity AB Simplicity Indien SEK 2005-11-24 1 1 147,21 147,21 147,21 147,21 722983 Simplicity AB Simplicity Indien SEK 2005-11-25 1 1 149,31 149,31 149,31 149,31 722983 Simplicity AB Simplicity Indien SEK 2005-11-28 1 1 153,07 153,07 153,07 153,07 722983 Simplicity AB Simplicity Indien SEK 2005-11-29 1 1 150,54 150,54 150,54 150,54 722983 Simplicity AB Simplicity Indien SEK 2005-11-30 1 1 149,62 149,62 149,62 149,62 722983 Simplicity AB Simplicity Indien SEK 2005-12-01 1 1 151,76 151,76 151,76 151,76 722983 Simplicity AB Simplicity Indien SEK 2005-12-02 1 1 152,59 152,59 152,59 152,59 722983 Simplicity AB Simplicity Indien SEK 2005-12-05 1 1 150,38 150,38 150,38 150,38 722983 Simplicity AB Simplicity Indien SEK 2005-12-06 1 1 150,21 150,21 150,21 150,21 722983 Simplicity AB Simplicity Indien SEK 2005-12-07 1 1 152,05 152,05 152,05 152,05 722983 Simplicity AB Simplicity Indien SEK 2005-12-08 1 1 152,03 152,03 152,03 152,03 722983 Simplicity AB Simplicity Indien SEK 2005-12-12 1 1 153,89 153,89 153,89 153,89 722983 Simplicity AB Simplicity Indien SEK 2005-12-13 1 1 154,62 154,62 154,62 154,62 722983 Simplicity AB Simplicity Indien SEK 2005-12-14 1 1 153,63 153,63 153,63 153,63 722983 Simplicity AB Simplicity Indien SEK 2005-12-15 1 1 153,02 153,02 153,02 153,02 722983 Simplicity AB Simplicity Indien SEK 2005-12-16 1 1 155,02 155,02 155,02 155,02 722983 Simplicity AB Simplicity Indien SEK 2005-12-19 1 1 156,61 156,61 156,61 156,61 722983 Simplicity AB Simplicity Indien SEK 2005-12-20 1 1 155,26 155,26 155,26 155,26 722983 Simplicity AB Simplicity Indien SEK 2005-12-21 1 1 156,97 156,97 156,97 156,97 722983 Simplicity AB Simplicity Indien SEK 2005-12-22 1 1 158,14 158,14 158,14 158,14 722983 Simplicity AB Simplicity Indien SEK 2005-12-23 1 1 156,64 156,64 156,64 156,64 722983 Simplicity AB Simplicity Indien SEK 2005-12-27 1 1 157,66 157,66 157,66 157,66 722983 Simplicity AB Simplicity Indien SEK 2005-12-28 1 1 155,5 155,5 155,5 155,5 722983 Simplicity AB Simplicity Indien SEK 2005-12-29 1 1 157,28 157,28 157,28 157,28 722983 Simplicity AB Simplicity Indien SEK 2005-12-30 1 1 160,04 160,04 160,04 160,04 484980 Simplicity AB Simplicity Norden SEK 2005-01-03 1 1 178,82 178,82 178,82 178,82 484980 Simplicity AB Simplicity Norden SEK 2005-01-04 1 1 178,62 178,62 178,62 178,62 484980 Simplicity AB Simplicity Norden SEK 2005-01-05 1 1 177,74 177,74 177,74 177,74 484980 Simplicity AB Simplicity Norden SEK 2005-01-07 1 1 180,32 180,32 180,32 180,32 484980 Simplicity AB Simplicity Norden SEK 2005-01-10 1 1 181,48 181,48 181,48 181,48 484980 Simplicity AB Simplicity Norden SEK 2005-01-11 1 1 181,22 181,22 181,22 181,22 484980 Simplicity AB Simplicity Norden SEK 2005-01-12 1 1 180,52 180,52 180,52 180,52 484980 Simplicity AB Simplicity Norden SEK 2005-01-13 1 1 181,83 181,83 181,83 181,83 484980 Simplicity AB Simplicity Norden SEK 2005-01-14 1 1 183,4 183,4 183,4 183,4 484980 Simplicity AB Simplicity Norden SEK 2005-01-17 1 1 184,87 184,87 184,87 184,87 484980 Simplicity AB Simplicity Norden SEK 2005-01-18 1 1 185,12 185,12 185,12 185,12 484980 Simplicity AB Simplicity Norden SEK 2005-01-19 1 1 186,03 186,03 186,03 186,03 484980 Simplicity AB Simplicity Norden SEK 2005-01-20 1 1 183,95 183,95 183,95 183,95 484980 Simplicity AB Simplicity Norden SEK 2005-01-21 1 1 185,34 185,34 185,34 185,34 484980 Simplicity AB Simplicity Norden SEK 2005-01-24 1 1 185,65 185,65 185,65 185,65 484980 Simplicity AB Simplicity Norden SEK 2005-01-25 1 1 187,38 187,38 187,38 187,38 484980 Simplicity AB Simplicity Norden SEK 2005-01-26 1 1 187,84 187,84 187,84 187,84 484980 Simplicity AB Simplicity Norden SEK 2005-01-27 1 1 187,16 187,16 187,16 187,16 484980 Simplicity AB Simplicity Norden SEK 2005-01-28 1 1 187,69 187,69 187,69 187,69 484980 Simplicity AB Simplicity Norden SEK 2005-01-31 1 1 188,38 188,38 188,38 188,38 484980 Simplicity AB Simplicity Norden SEK 2005-02-01 1 1 189,24 189,24 189,24 189,24 484980 Simplicity AB Simplicity Norden SEK 2005-02-02 1 1 192,18 192,18 192,18 192,18 484980 Simplicity AB Simplicity Norden SEK 2005-02-03 1 1 193,34 193,34 193,34 193,34 484980 Simplicity AB Simplicity Norden SEK 2005-02-04 1 1 193,43 193,43 193,43 193,43 484980 Simplicity AB Simplicity Norden SEK 2005-02-07 1 1 194,13 194,13 194,13 194,13 484980 Simplicity AB Simplicity Norden SEK 2005-02-08 1 1 193,27 193,27 193,27 193,27 484980 Simplicity AB Simplicity Norden SEK 2005-02-09 1 1 193,13 193,13 193,13 193,13 484980 Simplicity AB Simplicity Norden SEK 2005-02-10 1 1 193,97 193,97 193,97 193,97 484980 Simplicity AB Simplicity Norden SEK 2005-02-11 1 1 194,75 194,75 194,75 194,75 484980 Simplicity AB Simplicity Norden SEK 2005-02-14 1 1 196,4 196,4 196,4 196,4 484980 Simplicity AB Simplicity Norden SEK 2005-02-15 1 1 196,93 196,93 196,93 196,93 484980 Simplicity AB Simplicity Norden SEK 2005-02-16 1 1 197,11 197,11 197,11 197,11 484980 Simplicity AB Simplicity Norden SEK 2005-02-17 1 1 200,01 200,01 200,01 200,01 484980 Simplicity AB Simplicity Norden SEK 2005-02-18 1 1 200,68 200,68 200,68 200,68 484980 Simplicity AB Simplicity Norden SEK 2005-02-21 1 1 201,75 201,75 201,75 201,75 484980 Simplicity AB Simplicity Norden SEK 2005-02-22 1 1 200,34 200,34 200,34 200,34 484980 Simplicity AB Simplicity Norden SEK 2005-02-23 1 1 200,23 200,23 200,23 200,23 484980 Simplicity AB Simplicity Norden SEK 2005-02-24 1 1 201,72 201,72 201,72 201,72 484980 Simplicity AB Simplicity Norden SEK 2005-02-25 1 1 203,57 203,57 203,57 203,57 484980 Simplicity AB Simplicity Norden SEK 2005-02-28 1 1 205,58 205,58 205,58 205,58 484980 Simplicity AB Simplicity Norden SEK 2005-03-01 1 1 204,86 204,86 204,86 204,86 484980 Simplicity AB Simplicity Norden SEK 2005-03-02 1 1 205,82 205,82 205,82 205,82 484980 Simplicity AB Simplicity Norden SEK 2005-03-03 1 1 207,89 207,89 207,89 207,89 484980 Simplicity AB Simplicity Norden SEK 2005-03-04 1 1 210,07 210,07 210,07 210,07 484980 Simplicity AB Simplicity Norden SEK 2005-03-07 1 1 210,99 210,99 210,99 210,99 484980 Simplicity AB Simplicity Norden SEK 2005-03-08 1 1 211,1 211,1 211,1 211,1 484980 Simplicity AB Simplicity Norden SEK 2005-03-09 1 1 209,69 209,69 209,69 209,69 484980 Simplicity AB Simplicity Norden SEK 2005-03-10 1 1 208,51 208,51 208,51 208,51 484980 Simplicity AB Simplicity Norden SEK 2005-03-11 1 1 208,93 208,93 208,93 208,93 484980 Simplicity AB Simplicity Norden SEK 2005-03-14 1 1 208,76 208,76 208,76 208,76 484980 Simplicity AB Simplicity Norden SEK 2005-03-15 1 1 209,1 209,1 209,1 209,1 484980 Simplicity AB Simplicity Norden SEK 2005-03-16 1 1 207,35 207,35 207,35 207,35 484980 Simplicity AB Simplicity Norden SEK 2005-03-17 1 1 209,07 209,07 209,07 209,07 484980 Simplicity AB Simplicity Norden SEK 2005-03-18 1 1 210,39 210,39 210,39 210,39 484980 Simplicity AB Simplicity Norden SEK 2005-03-21 1 1 211,37 211,37 211,37 211,37 484980 Simplicity AB Simplicity Norden SEK 2005-03-22 1 1 210,65 210,65 210,65 210,65 484980 Simplicity AB Simplicity Norden SEK 2005-03-23 1 1 208,8 208,8 208,8 208,8 484980 Simplicity AB Simplicity Norden SEK 2005-03-24 1 1 209,29 209,29 209,29 209,29 484980 Simplicity AB Simplicity Norden SEK 2005-03-29 1 1 209,11 209,11 209,11 209,11 484980 Simplicity AB Simplicity Norden SEK 2005-03-30 1 1 208 208 208 208 484980 Simplicity AB Simplicity Norden SEK 2005-03-31 1 1 209,68 209,68 209,68 209,68 484980 Simplicity AB Simplicity Norden SEK 2005-04-01 1 1 211,49 211,49 211,49 211,49 484980 Simplicity AB Simplicity Norden SEK 2005-04-04 1 1 213,28 213,28 213,28 213,28 484980 Simplicity AB Simplicity Norden SEK 2005-04-05 1 1 214,07 214,07 214,07 214,07 484980 Simplicity AB Simplicity Norden SEK 2005-04-06 1 1 215,81 215,81 215,81 215,81 484980 Simplicity AB Simplicity Norden SEK 2005-04-07 1 1 218,47 218,47 218,47 218,47 484980 Simplicity AB Simplicity Norden SEK 2005-04-08 1 1 219,79 219,79 219,79 219,79 484980 Simplicity AB Simplicity Norden SEK 2005-04-11 1 1 217,86 217,86 217,86 217,86 484980 Simplicity AB Simplicity Norden SEK 2005-04-12 1 1 218,99 218,99 218,99 218,99 484980 Simplicity AB Simplicity Norden SEK 2005-04-13 1 1 219,11 219,11 219,11 219,11 484980 Simplicity AB Simplicity Norden SEK 2005-04-14 1 1 218,14 218,14 218,14 218,14 484980 Simplicity AB Simplicity Norden SEK 2005-04-15 1 1 213,52 213,52 213,52 213,52 484980 Simplicity AB Simplicity Norden SEK 2005-04-18 1 1 207,64 207,64 207,64 207,64 484980 Simplicity AB Simplicity Norden SEK 2005-04-19 1 1 209,09 209,09 209,09 209,09 484980 Simplicity AB Simplicity Norden SEK 2005-04-20 1 1 209,88 209,88 209,88 209,88 484980 Simplicity AB Simplicity Norden SEK 2005-04-21 1 1 208,12 208,12 208,12 208,12 484980 Simplicity AB Simplicity Norden SEK 2005-04-22 1 1 209 209 209 209 484980 Simplicity AB Simplicity Norden SEK 2005-04-25 1 1 206,67 206,67 206,67 206,67 484980 Simplicity AB Simplicity Norden SEK 2005-04-26 1 1 207,55 207,55 207,55 207,55 484980 Simplicity AB Simplicity Norden SEK 2005-04-27 1 1 202,47 202,47 202,47 202,47 484980 Simplicity AB Simplicity Norden SEK 2005-04-28 1 1 199,59 199,59 199,59 199,59 484980 Simplicity AB Simplicity Norden SEK 2005-04-29 1 1 202,12 202,12 202,12 202,12 484980 Simplicity AB Simplicity Norden SEK 2005-05-02 1 1 203,56 203,56 203,56 203,56 484980 Simplicity AB Simplicity Norden SEK 2005-05-03 1 1 204,7 204,7 204,7 204,7 484980 Simplicity AB Simplicity Norden SEK 2005-05-04 1 1 203,39 203,39 203,39 203,39 484980 Simplicity AB Simplicity Norden SEK 2005-05-06 1 1 205,82 205,82 205,82 205,82 484980 Simplicity AB Simplicity Norden SEK 2005-05-09 1 1 206,79 206,79 206,79 206,79 484980 Simplicity AB Simplicity Norden SEK 2005-05-10 1 1 206,33 206,33 206,33 206,33 484980 Simplicity AB Simplicity Norden SEK 2005-05-11 1 1 205,94 205,94 205,94 205,94 484980 Simplicity AB Simplicity Norden SEK 2005-05-12 1 1 205,56 205,56 205,56 205,56 484980 Simplicity AB Simplicity Norden SEK 2005-05-13 1 1 204,73 204,73 204,73 204,73 484980 Simplicity AB Simplicity Norden SEK 2005-05-16 1 1 205,85 205,85 205,85 205,85 484980 Simplicity AB Simplicity Norden SEK 2005-05-17 1 1 206,75 206,75 206,75 206,75 484980 Simplicity AB Simplicity Norden SEK 2005-05-18 1 1 206,75 206,75 206,75 206,75 484980 Simplicity AB Simplicity Norden SEK 2005-05-19 1 1 207,46 207,46 207,46 207,46 484980 Simplicity AB Simplicity Norden SEK 2005-05-20 1 1 207,9 207,9 207,9 207,9 484980 Simplicity AB Simplicity Norden SEK 2005-05-23 1 1 208,82 208,82 208,82 208,82 484980 Simplicity AB Simplicity Norden SEK 2005-05-24 1 1 209,72 209,72 209,72 209,72 484980 Simplicity AB Simplicity Norden SEK 2005-05-25 1 1 210,52 210,52 210,52 210,52 484980 Simplicity AB Simplicity Norden SEK 2005-05-26 1 1 213,21 213,21 213,21 213,21 484980 Simplicity AB Simplicity Norden SEK 2005-05-27 1 1 214,85 214,85 214,85 214,85 484980 Simplicity AB Simplicity Norden SEK 2005-05-30 1 1 214,81 214,81 214,81 214,81 484980 Simplicity AB Simplicity Norden SEK 2005-05-31 1 1 215,34 215,34 215,34 215,34 484980 Simplicity AB Simplicity Norden SEK 2005-06-01 1 1 216,23 216,23 216,23 216,23 484980 Simplicity AB Simplicity Norden SEK 2005-06-02 1 1 216,71 216,71 216,71 216,71 484980 Simplicity AB Simplicity Norden SEK 2005-06-03 1 1 216,36 216,36 216,36 216,36 484980 Simplicity AB Simplicity Norden SEK 2005-06-07 1 1 218,21 218,21 218,21 218,21 484980 Simplicity AB Simplicity Norden SEK 2005-06-08 1 1 220,57 220,57 220,57 220,57 484980 Simplicity AB Simplicity Norden SEK 2005-06-09 1 1 222,22 222,22 222,22 222,22 484980 Simplicity AB Simplicity Norden SEK 2005-06-10 1 1 224,05 224,05 224,05 224,05 484980 Simplicity AB Simplicity Norden SEK 2005-06-13 1 1 225,03 225,03 225,03 225,03 484980 Simplicity AB Simplicity Norden SEK 2005-06-14 1 1 226,03 226,03 226,03 226,03 484980 Simplicity AB Simplicity Norden SEK 2005-06-15 1 1 225,62 225,62 225,62 225,62 484980 Simplicity AB Simplicity Norden SEK 2005-06-16 1 1 226,35 226,35 226,35 226,35 484980 Simplicity AB Simplicity Norden SEK 2005-06-17 1 1 229,4 229,4 229,4 229,4 484980 Simplicity AB Simplicity Norden SEK 2005-06-20 1 1 229,59 229,59 229,59 229,59 484980 Simplicity AB Simplicity Norden SEK 2005-06-21 1 1 230,39 230,39 230,39 230,39 484980 Simplicity AB Simplicity Norden SEK 2005-06-22 1 1 230,6 230,6 230,6 230,6 484980 Simplicity AB Simplicity Norden SEK 2005-06-23 1 1 233,32 233,32 233,32 233,32 484980 Simplicity AB Simplicity Norden SEK 2005-06-27 1 1 231,06 231,06 231,06 231,06 484980 Simplicity AB Simplicity Norden SEK 2005-06-28 1 1 233,92 233,92 233,92 233,92 484980 Simplicity AB Simplicity Norden SEK 2005-06-29 1 1 235,86 235,86 235,86 235,86 484980 Simplicity AB Simplicity Norden SEK 2005-06-30 1 1 237,15 237,15 237,15 237,15 484980 Simplicity AB Simplicity Norden SEK 2005-07-01 1 1 237,96 237,96 237,96 237,96 484980 Simplicity AB Simplicity Norden SEK 2005-07-04 1 1 240,08 240,08 240,08 240,08 484980 Simplicity AB Simplicity Norden SEK 2005-07-05 1 1 240,13 240,13 240,13 240,13 484980 Simplicity AB Simplicity Norden SEK 2005-07-06 1 1 240,86 240,86 240,86 240,86 484980 Simplicity AB Simplicity Norden SEK 2005-07-07 1 1 237,19 237,19 237,19 237,19 484980 Simplicity AB Simplicity Norden SEK 2005-07-08 1 1 241,19 241,19 241,19 241,19 484980 Simplicity AB Simplicity Norden SEK 2005-07-11 1 1 244,54 244,54 244,54 244,54 484980 Simplicity AB Simplicity Norden SEK 2005-07-12 1 1 244,33 244,33 244,33 244,33 484980 Simplicity AB Simplicity Norden SEK 2005-07-13 1 1 244,54 244,54 244,54 244,54 484980 Simplicity AB Simplicity Norden SEK 2005-07-14 1 1 244,52 244,52 244,52 244,52 484980 Simplicity AB Simplicity Norden SEK 2005-07-15 1 1 243,39 243,39 243,39 243,39 484980 Simplicity AB Simplicity Norden SEK 2005-07-18 1 1 243,16 243,16 243,16 243,16 484980 Simplicity AB Simplicity Norden SEK 2005-07-19 1 1 242,56 242,56 242,56 242,56 484980 Simplicity AB Simplicity Norden SEK 2005-07-20 1 1 242,78 242,78 242,78 242,78 484980 Simplicity AB Simplicity Norden SEK 2005-07-21 1 1 243,96 243,96 243,96 243,96 484980 Simplicity AB Simplicity Norden SEK 2005-07-22 1 1 244,71 244,71 244,71 244,71 484980 Simplicity AB Simplicity Norden SEK 2005-07-25 1 1 246,03 246,03 246,03 246,03 484980 Simplicity AB Simplicity Norden SEK 2005-07-26 1 1 246,2 246,2 246,2 246,2 484980 Simplicity AB Simplicity Norden SEK 2005-07-27 1 1 248,44 248,44 248,44 248,44 484980 Simplicity AB Simplicity Norden SEK 2005-07-28 1 1 249,53 249,53 249,53 249,53 484980 Simplicity AB Simplicity Norden SEK 2005-07-29 1 1 250,76 250,76 250,76 250,76 484980 Simplicity AB Simplicity Norden SEK 2005-08-01 1 1 252,92 252,92 252,92 252,92 484980 Simplicity AB Simplicity Norden SEK 2005-08-02 1 1 254,6 254,6 254,6 254,6 484980 Simplicity AB Simplicity Norden SEK 2005-08-03 1 1 255,58 255,58 255,58 255,58 484980 Simplicity AB Simplicity Norden SEK 2005-08-04 1 1 256 256 256 256 484980 Simplicity AB Simplicity Norden SEK 2005-08-05 1 1 255,32 255,32 255,32 255,32 484980 Simplicity AB Simplicity Norden SEK 2005-08-08 1 1 256,86 256,86 256,86 256,86 484980 Simplicity AB Simplicity Norden SEK 2005-08-09 1 1 257,88 257,88 257,88 257,88 484980 Simplicity AB Simplicity Norden SEK 2005-08-10 1 1 259,31 259,31 259,31 259,31 484980 Simplicity AB Simplicity Norden SEK 2005-08-11 1 1 258,12 258,12 258,12 258,12 484980 Simplicity AB Simplicity Norden SEK 2005-08-12 1 1 258,6 258,6 258,6 258,6 484980 Simplicity AB Simplicity Norden SEK 2005-08-15 1 1 259,53 259,53 259,53 259,53 484980 Simplicity AB Simplicity Norden SEK 2005-08-16 1 1 255,79 255,79 255,79 255,79 484980 Simplicity AB Simplicity Norden SEK 2005-08-17 1 1 254,58 254,58 254,58 254,58 484980 Simplicity AB Simplicity Norden SEK 2005-08-18 1 1 255,64 255,64 255,64 255,64 484980 Simplicity AB Simplicity Norden SEK 2005-08-19 1 1 258,5 258,5 258,5 258,5 484980 Simplicity AB Simplicity Norden SEK 2005-08-22 1 1 261,51 261,51 261,51 261,51 484980 Simplicity AB Simplicity Norden SEK 2005-08-23 1 1 261,56 261,56 261,56 261,56 484980 Simplicity AB Simplicity Norden SEK 2005-08-24 1 1 258 258 258 258 484980 Simplicity AB Simplicity Norden SEK 2005-08-25 1 1 257,94 257,94 257,94 257,94 484980 Simplicity AB Simplicity Norden SEK 2005-08-26 1 1 258,58 258,58 258,58 258,58 484980 Simplicity AB Simplicity Norden SEK 2005-08-29 1 1 258,06 258,06 258,06 258,06 484980 Simplicity AB Simplicity Norden SEK 2005-08-30 1 1 261,63 261,63 261,63 261,63 484980 Simplicity AB Simplicity Norden SEK 2005-08-31 1 1 264,75 264,75 264,75 264,75 484980 Simplicity AB Simplicity Norden SEK 2005-09-01 1 1 268,69 268,69 268,69 268,69 484980 Simplicity AB Simplicity Norden SEK 2005-09-02 1 1 269,72 269,72 269,72 269,72 484980 Simplicity AB Simplicity Norden SEK 2005-09-05 1 1 268,91 268,91 268,91 268,91 484980 Simplicity AB Simplicity Norden SEK 2005-09-06 1 1 270,25 270,25 270,25 270,25 484980 Simplicity AB Simplicity Norden SEK 2005-09-07 1 1 270,56 270,56 270,56 270,56 484980 Simplicity AB Simplicity Norden SEK 2005-09-08 1 1 270,55 270,55 270,55 270,55 484980 Simplicity AB Simplicity Norden SEK 2005-09-09 1 1 271,81 271,81 271,81 271,81 484980 Simplicity AB Simplicity Norden SEK 2005-09-12 1 1 272,35 272,35 272,35 272,35 484980 Simplicity AB Simplicity Norden SEK 2005-09-13 1 1 270,22 270,22 270,22 270,22 484980 Simplicity AB Simplicity Norden SEK 2005-09-14 1 1 270,74 270,74 270,74 270,74 484980 Simplicity AB Simplicity Norden SEK 2005-09-15 1 1 273,4 273,4 273,4 273,4 484980 Simplicity AB Simplicity Norden SEK 2005-09-16 1 1 276,11 276,11 276,11 276,11 484980 Simplicity AB Simplicity Norden SEK 2005-09-19 1 1 280,06 280,06 280,06 280,06 484980 Simplicity AB Simplicity Norden SEK 2005-09-20 1 1 281,34 281,34 281,34 281,34 484980 Simplicity AB Simplicity Norden SEK 2005-09-21 1 1 281,77 281,77 281,77 281,77 484980 Simplicity AB Simplicity Norden SEK 2005-09-22 1 1 282,77 282,77 282,77 282,77 484980 Simplicity AB Simplicity Norden SEK 2005-09-23 1 1 282,01 282,01 282,01 282,01 484980 Simplicity AB Simplicity Norden SEK 2005-09-26 1 1 282,13 282,13 282,13 282,13 484980 Simplicity AB Simplicity Norden SEK 2005-09-27 1 1 282,39 282,39 282,39 282,39 484980 Simplicity AB Simplicity Norden SEK 2005-09-28 1 1 282,19 282,19 282,19 282,19 484980 Simplicity AB Simplicity Norden SEK 2005-09-29 1 1 285,2 285,2 285,2 285,2 484980 Simplicity AB Simplicity Norden SEK 2005-09-30 1 1 284,78 284,78 284,78 284,78 484980 Simplicity AB Simplicity Norden SEK 2005-10-03 1 1 285,31 285,31 285,31 285,31 484980 Simplicity AB Simplicity Norden SEK 2005-10-04 1 1 284,25 284,25 284,25 284,25 484980 Simplicity AB Simplicity Norden SEK 2005-10-05 1 1 279,63 279,63 279,63 279,63 484980 Simplicity AB Simplicity Norden SEK 2005-10-06 1 1 271,4 271,4 271,4 271,4 484980 Simplicity AB Simplicity Norden SEK 2005-10-07 1 1 271,15 271,15 271,15 271,15 484980 Simplicity AB Simplicity Norden SEK 2005-10-10 1 1 272,06 272,06 272,06 272,06 484980 Simplicity AB Simplicity Norden SEK 2005-10-11 1 1 272,68 272,68 272,68 272,68 484980 Simplicity AB Simplicity Norden SEK 2005-10-12 1 1 271,24 271,24 271,24 271,24 484980 Simplicity AB Simplicity Norden SEK 2005-10-13 1 1 263,12 263,12 263,12 263,12 484980 Simplicity AB Simplicity Norden SEK 2005-10-14 1 1 260,17 260,17 260,17 260,17 484980 Simplicity AB Simplicity Norden SEK 2005-10-17 1 1 262,38 262,38 262,38 262,38 484980 Simplicity AB Simplicity Norden SEK 2005-10-18 1 1 260,39 260,39 260,39 260,39 484980 Simplicity AB Simplicity Norden SEK 2005-10-19 1 1 250,44 250,44 250,44 250,44 484980 Simplicity AB Simplicity Norden SEK 2005-10-20 1 1 254,81 254,81 254,81 254,81 484980 Simplicity AB Simplicity Norden SEK 2005-10-21 1 1 249,65 249,65 249,65 249,65 484980 Simplicity AB Simplicity Norden SEK 2005-10-24 1 1 260,23 260,23 260,23 260,23 484980 Simplicity AB Simplicity Norden SEK 2005-10-25 1 1 263 263 263 263 484980 Simplicity AB Simplicity Norden SEK 2005-10-26 1 1 265,3 265,3 265,3 265,3 484980 Simplicity AB Simplicity Norden SEK 2005-10-27 1 1 262,58 262,58 262,58 262,58 484980 Simplicity AB Simplicity Norden SEK 2005-10-28 1 1 258,26 258,26 258,26 258,26 484980 Simplicity AB Simplicity Norden SEK 2005-10-31 1 1 265,24 265,24 265,24 265,24 484980 Simplicity AB Simplicity Norden SEK 2005-11-01 1 1 266,42 266,42 266,42 266,42 484980 Simplicity AB Simplicity Norden SEK 2005-11-02 1 1 269,6 269,6 269,6 269,6 484980 Simplicity AB Simplicity Norden SEK 2005-11-03 1 1 275,84 275,84 275,84 275,84 484980 Simplicity AB Simplicity Norden SEK 2005-11-04 1 1 274,57 274,57 274,57 274,57 484980 Simplicity AB Simplicity Norden SEK 2005-11-07 1 1 274,86 274,86 274,86 274,86 484980 Simplicity AB Simplicity Norden SEK 2005-11-08 1 1 271,3 271,3 271,3 271,3 484980 Simplicity AB Simplicity Norden SEK 2005-11-09 1 1 271,7 271,7 271,7 271,7 484980 Simplicity AB Simplicity Norden SEK 2005-11-10 1 1 272,35 272,35 272,35 272,35 484980 Simplicity AB Simplicity Norden SEK 2005-11-11 1 1 271,96 271,96 271,96 271,96 484980 Simplicity AB Simplicity Norden SEK 2005-11-14 1 1 274,86 274,86 274,86 274,86 484980 Simplicity AB Simplicity Norden SEK 2005-11-15 1 1 271,9 271,9 271,9 271,9 484980 Simplicity AB Simplicity Norden SEK 2005-11-16 1 1 270 270 270 270 484980 Simplicity AB Simplicity Norden SEK 2005-11-17 1 1 275,43 275,43 275,43 275,43 484980 Simplicity AB Simplicity Norden SEK 2005-11-18 1 1 275,25 275,25 275,25 275,25 484980 Simplicity AB Simplicity Norden SEK 2005-11-21 1 1 275,74 275,74 275,74 275,74 484980 Simplicity AB Simplicity Norden SEK 2005-11-22 1 1 278,78 278,78 278,78 278,78 484980 Simplicity AB Simplicity Norden SEK 2005-11-23 1 1 277,58 277,58 277,58 277,58 484980 Simplicity AB Simplicity Norden SEK 2005-11-24 1 1 277,02 277,02 277,02 277,02 484980 Simplicity AB Simplicity Norden SEK 2005-11-25 1 1 278,91 278,91 278,91 278,91 484980 Simplicity AB Simplicity Norden SEK 2005-11-28 1 1 279,53 279,53 279,53 279,53 484980 Simplicity AB Simplicity Norden SEK 2005-11-29 1 1 279,08 279,08 279,08 279,08 484980 Simplicity AB Simplicity Norden SEK 2005-11-30 1 1 280,65 280,65 280,65 280,65 484980 Simplicity AB Simplicity Norden SEK 2005-12-01 1 1 283,35 283,35 283,35 283,35 484980 Simplicity AB Simplicity Norden SEK 2005-12-02 1 1 286,17 286,17 286,17 286,17 484980 Simplicity AB Simplicity Norden SEK 2005-12-05 1 1 287,5 287,5 287,5 287,5 484980 Simplicity AB Simplicity Norden SEK 2005-12-06 1 1 287,82 287,82 287,82 287,82 484980 Simplicity AB Simplicity Norden SEK 2005-12-07 1 1 290,75 290,75 290,75 290,75 484980 Simplicity AB Simplicity Norden SEK 2005-12-08 1 1 289,33 289,33 289,33 289,33 484980 Simplicity AB Simplicity Norden SEK 2005-12-12 1 1 291,86 291,86 291,86 291,86 484980 Simplicity AB Simplicity Norden SEK 2005-12-13 1 1 293,22 293,22 293,22 293,22 484980 Simplicity AB Simplicity Norden SEK 2005-12-14 1 1 292,73 292,73 292,73 292,73 484980 Simplicity AB Simplicity Norden SEK 2005-12-15 1 1 292,5 292,5 292,5 292,5 484980 Simplicity AB Simplicity Norden SEK 2005-12-16 1 1 293,24 293,24 293,24 293,24 484980 Simplicity AB Simplicity Norden SEK 2005-12-19 1 1 292,17 292,17 292,17 292,17 484980 Simplicity AB Simplicity Norden SEK 2005-12-20 1 1 293,33 293,33 293,33 293,33 484980 Simplicity AB Simplicity Norden SEK 2005-12-21 1 1 295,96 295,96 295,96 295,96 484980 Simplicity AB Simplicity Norden SEK 2005-12-22 1 1 299,78 299,78 299,78 299,78 484980 Simplicity AB Simplicity Norden SEK 2005-12-23 1 1 302,44 302,44 302,44 302,44 484980 Simplicity AB Simplicity Norden SEK 2005-12-27 1 1 304,88 304,88 304,88 304,88 484980 Simplicity AB Simplicity Norden SEK 2005-12-28 1 1 303,79 303,79 303,79 303,79 484980 Simplicity AB Simplicity Norden SEK 2005-12-29 1 1 305,02 305,02 305,02 305,02 484980 Simplicity AB Simplicity Norden SEK 2005-12-30 1 1 305,97 305,97 305,97 305,97 286948 Simplicity AB Simplicity Nya Europa SEK 2005-09-30 1 1 100 100 100 100 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-03 1 1 101,34 101,34 101,34 101,34 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-04 1 1 104,44 104,44 104,44 104,44 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-05 1 1 101,45 101,45 101,45 101,45 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-06 1 1 96,5 96,5 96,5 96,5 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-07 1 1 94,97 94,97 94,97 94,97 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-10 1 1 96,39 96,39 96,39 96,39 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-11 1 1 97,83 97,83 97,83 97,83 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-12 1 1 97,11 97,11 97,11 97,11 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-13 1 1 93,89 93,89 93,89 93,89 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-14 1 1 91,34 91,34 91,34 91,34 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-17 1 1 92,68 92,68 92,68 92,68 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-18 1 1 94,29 94,29 94,29 94,29 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-19 1 1 90,11 90,11 90,11 90,11 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-20 1 1 90,94 90,94 90,94 90,94 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-21 1 1 90,23 90,23 90,23 90,23 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-24 1 1 92,36 92,36 92,36 92,36 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-25 1 1 92,72 92,72 92,72 92,72 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-26 1 1 92,24 92,24 92,24 92,24 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-27 1 1 90,44 90,44 90,44 90,44 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-28 1 1 89,85 89,85 89,85 89,85 286948 Simplicity AB Simplicity Nya Europa SEK 2005-10-31 1 1 92,44 92,44 92,44 92,44 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-01 1 1 94 94 94 94 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-02 1 1 95,34 95,34 95,34 95,34 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-03 1 1 97,35 97,35 97,35 97,35 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-04 1 1 96,74 96,74 96,74 96,74 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-07 1 1 98,33 98,33 98,33 98,33 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-08 1 1 97,33 97,33 97,33 97,33 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-09 1 1 98,31 98,31 98,31 98,31 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-10 1 1 97,78 97,78 97,78 97,78 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-11 1 1 98,27 98,27 98,27 98,27 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-14 1 1 97,29 97,29 97,29 97,29 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-15 1 1 97,66 97,66 97,66 97,66 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-16 1 1 98,26 98,26 98,26 98,26 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-17 1 1 100,07 100,07 100,07 100,07 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-18 1 1 99,36 99,36 99,36 99,36 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-21 1 1 100,29 100,29 100,29 100,29 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-22 1 1 100,62 100,62 100,62 100,62 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-23 1 1 100,8 100,8 100,8 100,8 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-24 1 1 101,42 101,42 101,42 101,42 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-25 1 1 101,64 101,64 101,64 101,64 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-28 1 1 102,31 102,31 102,31 102,31 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-29 1 1 102,55 102,55 102,55 102,55 286948 Simplicity AB Simplicity Nya Europa SEK 2005-11-30 1 1 102,97 102,97 102,97 102,97 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-01 1 1 104,61 104,61 104,61 104,61 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-02 1 1 104,98 104,98 104,98 104,98 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-05 1 1 104,73 104,73 104,73 104,73 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-06 1 1 104,43 104,43 104,43 104,43 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-07 1 1 105,32 105,32 105,32 105,32 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-08 1 1 104,17 104,17 104,17 104,17 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-12 1 1 104,71 104,71 104,71 104,71 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-13 1 1 104,96 104,96 104,96 104,96 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-14 1 1 105,49 105,49 105,49 105,49 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-15 1 1 105,67 105,67 105,67 105,67 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-16 1 1 106,06 106,06 106,06 106,06 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-19 1 1 106,44 106,44 106,44 106,44 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-20 1 1 107,18 107,18 107,18 107,18 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-21 1 1 109,04 109,04 109,04 109,04 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-22 1 1 109,4 109,4 109,4 109,4 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-23 1 1 111,04 111,04 111,04 111,04 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-27 1 1 112,73 112,73 112,73 112,73 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-28 1 1 111,65 111,65 111,65 111,65 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-29 1 1 112,17 112,17 112,17 112,17 286948 Simplicity AB Simplicity Nya Europa SEK 2005-12-30 1 1 112 112 112 112 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-03 1,0958 1,0942 126,4715 126,4715 138,5874697 138,3851153 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-04 1,0963 1,0947 126,4514 126,4514 138,62866982 138,42634758 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-05 1,0923 1,0907 120,8337 120,8337 131,98665051 131,79331659 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-07 1,0978 1,0962 120,8018 120,8018 132,61621604 132,42293316 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-10 1,1082 1,1066 120,8424 120,8424 133,91754768 133,72419984 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-11 1,1082 1,1066 120,9841 120,9841 134,07457962 133,88100506 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-12 1,1038 1,1022 121,0224 121,0224 133,58452512 133,39088928 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-13 1,1023 1,1007 121,0954 121,0954 133,48345942 133,28970678 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-14 1,1073 1,1057 121,1133 121,1133 134,10875709 133,91497581 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-17 1,1058 1,1042 121,2794 121,2794 134,11076052 133,91671348 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-18 1,1083 1,1067 121,2233 121,2233 134,35178339 134,15782611 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-19 1,1083 1,1067 121,251 121,251 134,3824833 134,1884817 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-20 1,1073 1,1057 121,2381 121,2381 134,24694813 134,05296717 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-21 1,1038 1,1022 121,304 121,304 133,8953552 133,7012688 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-24 1,1053 1,1037 121,4506 121,4506 134,23934818 134,04502722 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-25 1,1063 1,1047 121,4783 121,4783 134,39144329 134,19707801 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-26 1,1038 1,1022 121,5542 121,5542 134,17152596 133,97703924 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-27 1,0988 1,0972 121,5603 121,5603 133,57045764 133,37596116 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-28 1,1033 1,1017 121,6201 121,6201 134,18345633 133,98886417 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-01-31 1,1028 1,1012 121,6965 121,6965 134,2069002 134,0121858 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-01 1,0983 1,0967 121,8072 121,8072 133,78084776 133,58595624 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-02 1,0988 1,0972 121,7894 121,7894 133,82219272 133,62732968 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-03 1,0983 1,0967 121,9003 121,9003 133,88309949 133,68805901 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-04 1,0968 1,0952 122,0208 122,0208 133,83241344 133,63718016 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-07 1,0938 1,0922 122,0096 122,0096 133,45410048 133,25888512 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-08 1,0898 1,0882 121,9922 121,9922 132,94709956 132,75191204 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-09 1,0843 1,0827 122,0665 122,0665 132,35670595 132,16139955 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-10 1,0848 1,0832 122,21 122,21 132,573408 132,377872 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-11 1,0788 1,0772 122,266 122,266 131,9005608 131,7049352 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-14 1,0828 1,0812 122,4175 122,4175 132,553669 132,357801 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-15 1,0833 1,0817 122,4294 122,4294 132,62776902 132,43188198 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-16 1,0848 1,0832 122,3995 122,3995 132,7789776 132,5831384 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-17 1,0863 1,0847 122,4715 122,4715 133,04079045 132,84483605 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-18 1,0943 1,0927 122,5914 122,5914 134,15176902 133,95562278 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-21 1,0998 1,0982 122,5422 122,5422 134,77191156 134,57584404 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-22 1,1028 1,1012 122,5617 122,5617 135,16104276 134,96494404 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-23 1,1023 1,1007 122,5938 122,5938 135,13514574 134,93899566 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-24 1,1013 1,0997 122,5715 122,5715 134,98799295 134,79187855 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-25 1,1018 1,1002 122,5696 122,5696 135,04718528 134,85107392 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-02-28 1,0968 1,0952 122,7103 122,7103 134,58865704 134,39232056 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-01 1,1013 1,0997 122,6053 122,6053 135,02521689 134,82904841 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-02 1,1068 1,1052 122,5935 122,5935 135,6864858 135,4903362 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-03 1,1058 1,1042 122,661 122,661 135,6385338 135,4422762 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-04 1,1013 1,0997 122,6872 122,6872 135,11541336 134,91911384 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-07 1,1003 1,0987 122,7244 122,7244 135,03365732 134,83729828 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-08 1,1033 1,1017 122,8403 122,8403 135,52970299 135,33315851 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-09 1,1053 1,1037 122,7766 122,7766 135,70497598 135,50853342 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-10 1,1053 1,1037 122,6217 122,6217 135,53376501 135,33757029 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-11 1,1113 1,1097 122,5978 122,5978 136,24293514 136,04677866 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-14 1,1113 1,1097 122,4285 122,4285 136,05479205 135,85890645 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-15 1,1138 1,1122 122,328 122,328 136,2489264 136,0532016 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-16 1,1128 1,1112 122,0598 122,0598 135,82814544 135,63284976 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-17 1,1193 1,1177 122,0402 122,0402 136,59959586 136,40433154 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-18 1,1193 1,1177 122,1139 122,1139 136,68208827 136,48670603 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-21 1,1218 1,1202 122,0088 122,0088 136,86947184 136,67425776 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-22 1,1183 1,1167 122,0988 122,0988 136,54308804 136,34772996 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-23 1,1158 1,1142 121,9343 121,9343 136,05429194 135,85919706 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-29 1,1103 1,1087 121,8363 121,8363 135,27484389 135,07990581 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-30 1,1168 1,1152 121,9877 121,9877 136,23586336 136,04068304 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-03-31 1,1163 1,1147 122,0676 122,0676 136,26406188 136,06875372 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-01 1,1173 1,1157 122,1795 122,1795 136,51115535 136,31566815 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-04 1,1198 1,1182 122,1063 122,1063 136,73463474 136,53926466 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-05 1,1223 1,1207 122,0207 122,0207 136,94383161 136,74859849 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-06 1,1243 1,1227 121,856 121,856 137,0027008 136,8077312 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-07 1,1208 1,1192 122,0008 122,0008 136,73849664 136,54329536 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-08 1,1208 1,1192 122,0274 122,0274 136,76830992 136,57306608 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-11 1,1203 1,1187 122,2461 122,2461 136,95230583 136,75671207 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-12 1,1173 1,1157 122,1692 122,1692 136,49964716 136,30417644 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-13 1,1183 1,1167 122,3163 122,3163 136,78631829 136,59061221 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-14 1,1153 1,1137 122,2891 122,2891 136,38903323 136,19337067 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-15 1,1178 1,1162 122,2324 122,2324 136,63137672 136,43580488 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-18 1,1148 1,1132 122,1333 122,1333 136,15420284 135,95878956 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-19 1,1213 1,1197 122,0948 122,0948 136,90489924 136,70954756 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-20 1,1218 1,1202 122,2422 122,2422 137,13129996 136,93571244 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-21 1,1253 1,1237 122,221 122,221 137,5352913 137,3397377 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-22 1,1248 1,1232 122,2185 122,2185 137,4713688 137,2758192 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-25 1,1258 1,1242 122,2692 122,2692 137,65066536 137,45503464 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-26 1,1243 1,1227 122,3609 122,3609 137,57035987 137,37458243 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-27 1,1253 1,1237 122,2182 122,2182 137,53214046 137,33659134 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-28 1,1248 1,1232 122,0963 122,0963 137,33391824 137,13856416 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-04-29 1,1268 1,1252 122,0405 122,0405 137,5152354 137,3199706 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-02 1,1313 1,1297 122,1177 122,1177 138,15175401 137,95636569 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-03 1,1343 1,1327 122,1786 122,1786 138,58718598 138,39170022 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-04 1,1323 1,1307 122,3577 122,3577 138,54562371 138,34985139 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-06 1,1313 1,1297 122,4953 122,4953 138,57893289 138,38294041 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-09 1,1288 1,1272 122,4609 122,4609 138,23386392 138,03792648 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-10 1,1328 1,1312 122,4582 122,4582 138,72064896 138,52471584 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-11 1,1398 1,1382 122,4593 122,4593 139,57911014 139,38317526 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-12 1,1418 1,1402 122,4786 122,4786 139,84606548 139,65009972 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-13 1,1373 1,1357 122,5648 122,5648 139,39294704 139,19684336 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-18 1,1373 1,1357 122,7737 122,7737 139,63052901 139,43409109 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-19 1,1328 1,1312 122,9361 122,9361 139,26201408 139,06531632 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-20 1,1338 1,1322 122,8716 122,8716 139,31182008 139,11522552 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-23 1,1303 1,1287 123,0118 123,0118 139,04023754 138,84341866 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-24 1,1323 1,1307 122,9195 122,9195 139,18174985 138,98507865 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-25 1,1353 1,1337 122,8873 122,8873 139,51395169 139,31733201 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-26 1,1478 1,1462 122,8176 122,8176 140,97004128 140,77353312 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-27 1,1528 1,1512 122,9092 122,9092 141,68972576 141,49307104 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-30 1,1538 1,1522 123,0232 123,0232 141,94416816 141,74733104 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-05-31 1,1488 1,1472 123,0347 123,0347 141,34226336 141,14540784 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-01 1,1533 1,1517 123,142 123,142 142,0196686 141,8226414 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-02 1,1563 1,1547 123,1792 123,1792 142,43210896 142,23502224 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-03 1,1533 1,1517 123,4235 123,4235 142,34432255 142,14684495 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-07 1,1613 1,1597 123,3239 123,3239 143,21604507 143,01872683 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-08 1,1593 1,1577 123,3664 123,3664 143,01866752 142,82128128 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-09 1,1618 1,1602 123,2278 123,2278 143,16605804 142,96889356 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-10 1,1648 1,1632 123,3652 123,3652 143,69578496 143,49840064 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-13 1,1778 1,1762 123,3914 123,3914 145,33039092 145,13296468 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-14 1,1823 1,1807 123,501 123,501 146,0152323 145,8176307 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-15 1,1798 1,1782 123,6064 123,6064 145,83083072 145,63306048 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-16 1,1773 1,1757 123,662 123,662 145,5872726 145,3894134 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-17 1,1798 1,1782 123,7738 123,7738 146,02832924 145,83029116 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-20 1,1728 1,1712 123,6835 123,6835 145,0560088 144,8581152 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-21 1,1803 1,1787 123,7181 123,7181 146,02447343 145,82652447 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-22 1,1773 1,1757 123,8879 123,8879 145,85322467 145,65500403 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-23 1,1853 1,1837 123,9667 123,9667 146,93772951 146,73938279 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-27 1,1838 1,1822 124,0939 124,0939 146,90235882 146,70380858 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-28 1,1833 1,1817 123,982 123,982 146,7079006 146,5095294 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-29 1,1888 1,1872 124,2039 124,2039 147,65359632 147,45487008 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-06-30 1,1933 1,1917 124,2898 124,2898 148,31501834 148,11615466 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-01 1,1983 1,1967 124,4324 124,4324 149,10734492 148,90825308 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-04 1,2048 1,2032 124,4116 124,4116 149,89109568 149,69203712 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-05 1,1983 1,1967 124,377 124,377 149,0409591 148,8419559 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-06 1,1918 1,1902 124,3914 124,3914 148,24967052 148,05064428 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-07 1,1883 1,1867 124,3111 124,3111 147,71888013 147,51998237 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-08 1,1943 1,1927 124,4691 124,4691 148,65344613 148,45429557 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-11 1,1998 1,1982 124,4955 124,4955 149,3697009 149,1705081 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-12 1,1983 1,1967 124,5897 124,5897 149,29583751 149,09649399 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-13 1,1908 1,1892 124,6592 124,6592 148,44417536 148,24472064 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-14 1,1838 1,1822 124,8345 124,8345 147,7790811 147,5793459 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-15 1,1823 1,1807 124,8564 124,8564 147,61772172 147,41795148 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-18 1,1808 1,1792 124,9455 124,9455 147,5356464 147,3357336 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-19 1,1768 1,1752 124,9317 124,9317 147,01962456 146,81973384 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-20 1,1768 1,1752 124,8174 124,8174 146,88511632 146,68540848 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-21 1,1863 1,1847 124,8598 124,8598 148,12118074 147,92140506 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-22 1,1868 1,1852 124,8422 124,8422 148,16272296 147,96297544 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-25 1,1863 1,1847 124,8531 124,8531 148,11323253 147,91346757 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-26 1,1913 1,1897 124,7428 124,7428 148,60609764 148,40650916 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-27 1,1978 1,1962 124,9511 124,9511 149,66642758 149,46650582 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-28 1,1928 1,1912 124,943 124,943 149,0320104 148,8321016 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-07-29 1,1883 1,1867 124,9352 124,9352 148,46049816 148,26060184 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-01 1,1963 1,1947 124,829 124,829 149,3329327 149,1332063 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-02 1,1983 1,1967 124,8334 124,8334 149,58786322 149,38812978 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-03 1,1933 1,1917 124,8684 124,8684 149,00546172 148,80567228 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-04 1,1933 1,1917 125,0058 125,0058 149,16942114 148,96941186 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-05 1,1873 1,1857 124,8422 124,8422 148,22514406 148,02539654 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-08 1,1783 1,1767 124,7731 124,7731 147,02014373 146,82050677 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-09 1,1818 1,1802 124,6484 124,6484 147,30947912 147,11004168 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-10 1,1843 1,1827 124,8349 124,8349 147,84197207 147,64223623 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-11 1,1828 1,1812 124,8806 124,8806 147,70877368 147,50896472 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-12 1,1793 1,1777 124,8709 124,8709 147,26025237 147,06045893 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-15 1,1768 1,1752 125,2108 125,2108 147,34806944 147,14773216 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-16 1,1653 1,1637 125,0859 125,0859 145,76259927 145,56246183 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-17 1,1773 1,1757 125,1104 125,1104 147,29247392 147,09229728 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-18 1,1773 1,1757 125,1334 125,1334 147,31955182 147,11933838 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-19 1,1748 1,1732 125,0685 125,0685 146,9304738 146,7303642 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-22 1,1728 1,1712 125,2131 125,2131 146,84992368 146,64958272 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-23 1,1708 1,1692 125,2109 125,2109 146,59692172 146,39658428 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-24 1,1743 1,1727 125,0555 125,0555 146,85267365 146,65258485 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-25 1,1768 1,1752 125,0645 125,0645 147,1759036 146,9758004 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-26 1,1773 1,1757 125,1232 125,1232 147,30754336 147,10734624 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-29 1,1798 1,1782 125,2153 125,2153 147,72901094 147,52866646 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-30 1,1793 1,1777 125,3997 125,3997 147,88386621 147,68322669 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-08-31 1,1848 1,1832 125,531 125,531 148,7291288 148,5282792 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-01 1,1888 1,1872 125,6654 125,6654 149,39102752 149,18996288 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-02 1,1948 1,1932 125,7895 125,7895 150,2932946 150,0920314 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-05 1,1903 1,1887 125,8852 125,8852 149,84115356 149,63973724 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-06 1,1898 1,1882 125,8383 125,8383 149,72240934 149,52106806 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-07 1,1938 1,1922 125,8397 125,8397 150,22743386 150,02609034 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-08 1,1988 1,1972 125,811 125,811 150,8222268 150,6209292 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-09 1,2008 1,1992 125,9096 125,9096 151,19224768 150,99079232 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-12 1,1953 1,1937 126,0184 126,0184 150,62979352 150,42816408 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-13 1,1938 1,1922 126,0831 126,0831 150,51800478 150,31627182 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-14 1,1953 1,1937 126,0001 126,0001 150,60791953 150,40631937 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-15 1,2003 1,1987 126,0032 126,0032 151,24164096 151,04003584 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-16 1,2008 1,1992 126,018 126,018 151,3224144 151,1207856 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-19 1,1973 1,1957 126,0232 126,0232 150,88757736 150,68594024 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-20 1,2018 1,2002 126,115 126,115 151,565007 151,363223 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-21 1,1988 1,1972 126,2302 126,2302 151,32476376 151,12279544 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-22 1,2018 1,2002 126,2339 126,2339 151,70790102 151,50592678 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-23 1,2043 1,2027 126,2093 126,2093 151,99385999 151,79192511 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-26 1,1993 1,1977 126,1408 126,1408 151,28066144 151,07883616 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-27 1,2003 1,1987 126,1556 126,1556 151,42456668 151,22271772 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-28 1,2013 1,1997 126,1595 126,1595 151,55540735 151,35355215 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-29 1,2023 1,2007 126,2903 126,2903 151,83882769 151,63676321 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-09-30 1,1918 1,1902 126,5226 126,5226 150,78963468 150,58719852 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-03 1,1798 1,1782 126,5225 126,5225 149,2712455 149,0688095 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-04 1,1838 1,1822 126,5897 126,5897 149,85688686 149,65434334 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-05 1,1788 1,1772 126,5006 126,5006 149,11890728 148,91650632 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-06 1,1798 1,1782 126,3375 126,3375 149,0529825 148,8508425 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-07 1,1828 1,1812 126,3128 126,3128 149,40277984 149,20067936 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-10 1,1808 1,1792 126,3535 126,3535 149,1982128 148,9960472 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-11 1,1898 1,1882 126,3967 126,3967 150,38679366 150,18455894 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-12 1,1918 1,1902 126,2632 126,2632 150,48048176 150,27846064 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-13 1,2023 1,2007 126,0053 126,0053 151,49617219 151,29456371 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-14 1,2028 1,2012 126,0227 126,0227 151,58010356 151,37846724 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-17 1,2118 1,2102 126,1771 126,1771 152,90140978 152,69952642 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-18 1,2118 1,2102 126,213 126,213 152,9449134 152,7429726 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-19 1,2103 1,2087 126,2081 126,2081 152,74966343 152,54773047 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-20 1,2173 1,2157 126,2598 126,2598 153,69605454 153,49403886 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-21 1,2183 1,2167 126,2373 126,2373 153,79490259 153,59292291 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-24 1,2243 1,2227 126,299 126,299 154,6278657 154,4257873 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-25 1,2203 1,2187 126,3412 126,3412 154,17416636 153,97202044 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-26 1,2148 1,2132 126,1433 126,1433 153,23888084 153,03705156 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-27 1,2228 1,2212 126,0581 126,0581 154,14384468 153,94215172 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-28 1,2188 1,2172 126,0652 126,0652 153,64826576 153,44656144 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-10-31 1,2233 1,2217 126,1905 126,1905 154,36883865 154,16693385 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-01 1,2273 1,2257 126,228 126,228 154,9196244 154,7176596 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-02 1,2338 1,2322 126,2551 126,2551 155,77354238 155,57153422 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-03 1,2398 1,2382 126,4179 126,4179 156,73291242 156,53064378 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-04 1,2308 1,2292 126,3729 126,3729 155,53976532 155,33756868 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-07 1,2348 1,2332 126,4506 126,4506 156,14120088 155,93887992 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-08 1,2298 1,2282 126,545 126,545 155,625041 155,422569 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-09 1,2278 1,2262 126,6023 126,6023 155,44230394 155,23974026 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-10 1,2428 1,2412 126,6081 126,6081 157,34854668 157,14597372 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-11 1,2453 1,2437 126,6884 126,6884 157,76506452 157,56236308 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-14 1,2323 1,2307 126,7157 126,7157 156,15175711 155,94901199 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-15 1,2293 1,2277 126,7639 126,7639 155,83086227 155,62804003 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-16 1,2298 1,2282 126,9233 126,9233 156,09027434 155,88719706 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-17 1,2318 1,2302 126,899 126,899 156,3141882 156,1111498 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-18 1,2233 1,2217 126,791 126,791 155,1034303 154,9005647 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-21 1,2168 1,2152 126,8454 126,8454 154,34548272 154,14253008 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-22 1,2143 1,2127 126,7104 126,7104 153,86443872 153,66170208 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-23 1,2093 1,2077 127,042 127,042 153,6318906 153,4286234 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-24 1,2083 1,2067 127,224 127,224 153,7247592 153,5212008 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-25 1,2028 1,2012 127,2671 127,2671 153,07686788 152,87324052 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-28 1,2068 1,2052 127,4292 127,4292 153,78155856 153,57767184 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-29 1,1968 1,1952 127,4738 127,4738 152,56064384 152,35668576 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-11-30 1,1983 1,1967 127,3832 127,3832 152,64328856 152,43947544 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-01 1,1963 1,1947 127,476 127,476 152,4995388 152,2955772 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-02 1,1993 1,1977 127,6336 127,6336 153,07097648 152,86676272 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-05 1,1908 1,1892 127,6362 127,6362 151,98918696 151,78496904 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-06 1,1948 1,1932 127,7647 127,7647 152,65326356 152,44884004 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-07 1,1833 1,1817 127,8234 127,8234 151,25342922 151,04891178 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-08 1,1848 1,1832 127,7622 127,7622 151,37265456 151,16823504 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-12 1,1888 1,1872 127,6547 127,6547 151,75590736 151,55165984 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-13 1,1853 1,1837 127,7115 127,7115 151,37644095 151,17210255 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-14 1,1888 1,1872 127,753 127,753 151,8727664 151,6683616 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-15 1,1868 1,1852 127,7248 127,7248 151,58379264 151,37943296 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-16 1,1943 1,1927 127,6633 127,6633 152,46827919 152,26401791 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-19 1,1818 1,1802 127,6097 127,6097 150,80914346 150,60496794 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-20 1,1728 1,1712 127,7052 127,7052 149,77265856 149,56833024 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-21 1,1728 1,1712 127,8514 127,8514 149,94412192 149,73955968 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-22 1,1778 1,1762 127,8993 127,8993 150,63979554 150,43515666 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-23 1,1738 1,1722 127,8794 127,8794 150,10483972 149,90023268 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-27 1,1833 1,1817 127,8525 127,8525 151,28786325 151,08329925 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-28 1,1763 1,1747 127,778 127,778 150,3052614 150,1008166 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-29 1,1718 1,1702 127,8454 127,8454 149,80923972 149,60468708 948356 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Avkastning NOK 2005-12-30 1,1768 1,1752 127,9574 127,9574 150,58026832 150,37553648 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-03 1,0958 1,0942 434,6635 434,6635 476,3042633 475,6088017 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-04 1,0963 1,0947 438,1863 438,1863 480,38364069 479,68254261 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-05 1,0923 1,0907 431,907 431,907 471,7720161 471,0809649 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-07 1,0978 1,0962 437,2571 437,2571 480,02084438 479,32123302 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-10 1,1082 1,1066 437,2634 437,2634 484,57529988 483,87567844 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-11 1,1082 1,1066 433,603 433,603 480,5188446 479,8250798 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-12 1,1038 1,1022 430,1401 430,1401 474,78864238 474,10041822 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-13 1,1023 1,1007 433,9864 433,9864 478,38320872 477,68883048 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-14 1,1073 1,1057 439,8019 439,8019 486,99264387 486,28896083 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-17 1,1058 1,1042 442,2803 442,2803 489,07355574 488,36590726 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-18 1,1083 1,1067 440,2935 440,2935 487,97728605 487,27281645 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-19 1,1083 1,1067 441,1287 441,1287 488,90293821 488,19713229 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-20 1,1073 1,1057 439,5375 439,5375 486,69987375 485,99661375 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-21 1,1038 1,1022 439,6812 439,6812 485,32010856 484,61661864 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-24 1,1053 1,1037 439,7306 439,7306 486,03423218 485,33066322 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-25 1,1063 1,1047 443,0378 443,0378 490,13271814 489,42385766 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-26 1,1038 1,1022 447,1822 447,1822 493,59971236 492,88422084 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-27 1,0988 1,0972 446,6498 446,6498 490,77880024 490,06416056 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-28 1,1033 1,1017 446,9971 446,9971 493,17190043 492,45670507 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-01-31 1,1028 1,1012 452,3686 452,3686 498,87209208 498,14830232 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-01 1,0983 1,0967 454,5901 454,5901 499,27630683 498,54896267 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-02 1,0988 1,0972 455,495 455,495 500,497906 499,769114 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-03 1,0983 1,0967 458,3958 458,3958 503,45610714 502,72267386 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-04 1,0968 1,0952 464,3443 464,3443 509,29282824 508,54987736 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-07 1,0938 1,0922 471,5601 471,5601 515,79243738 515,03794122 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-08 1,0898 1,0882 473,1835 473,1835 515,6753783 514,9182847 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-09 1,0843 1,0827 471,0001 471,0001 510,70540843 509,95180827 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-10 1,0848 1,0832 472,7359 472,7359 512,82390432 512,06752688 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-11 1,0788 1,0772 476,4958 476,4958 514,04366904 513,28127576 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-14 1,0828 1,0812 477,7622 477,7622 517,32091016 516,55649064 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-15 1,0833 1,0817 479,1788 479,1788 519,09439404 518,32770796 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-16 1,0848 1,0832 478,1337 478,1337 518,67943776 517,91442384 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-17 1,0863 1,0847 476,1369 476,1369 517,22751447 516,46569543 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-18 1,0943 1,0927 474,8677 474,8677 519,64772411 518,88793579 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-21 1,0998 1,0982 474,8791 474,8791 522,27203418 521,51222762 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-22 1,1028 1,1012 467,2657 467,2657 515,30061396 514,55298884 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-23 1,1023 1,1007 465,6888 465,6888 513,32876424 512,58366216 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-24 1,1013 1,0997 471,3449 471,3449 519,09213837 518,33798653 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-25 1,1018 1,1002 477,6696 477,6696 526,29636528 525,53209392 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-02-28 1,0968 1,0952 477,5061 477,5061 523,72869048 522,96468072 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-01 1,1013 1,0997 475,9944 475,9944 524,21263272 523,45104168 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-02 1,1068 1,1052 477,8079 477,8079 528,83778372 528,07329108 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-03 1,1058 1,1042 482,3338 482,3338 533,36471604 532,59298196 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-04 1,1013 1,0997 483,6947 483,6947 532,69297311 531,91906159 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-07 1,1003 1,0987 483,8726 483,8726 532,40502178 531,63082562 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-08 1,1033 1,1017 479,9695 479,9695 529,55034935 528,78239815 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-09 1,1053 1,1037 477,8309 477,8309 528,14649377 527,38196433 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-10 1,1053 1,1037 467,7795 467,7795 517,03668135 516,28823415 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-11 1,1113 1,1097 469,2686 469,2686 521,49819518 520,74736542 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-14 1,1113 1,1097 468,5778 468,5778 520,73050914 519,98078466 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-15 1,1138 1,1122 467,7348 467,7348 520,96302024 520,21464456 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-16 1,1128 1,1112 463,0776 463,0776 515,31275328 514,57182912 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-17 1,1193 1,1177 460,8059 460,8059 515,78004387 515,04275443 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-18 1,1193 1,1177 462,0999 462,0999 517,22841807 516,48905823 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-21 1,1218 1,1202 462,8856 462,8856 519,26506608 518,52444912 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-22 1,1183 1,1167 465,0863 465,0863 520,10600929 519,36187121 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-23 1,1158 1,1142 463,5043 463,5043 517,17809794 516,43649106 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-29 1,1103 1,1087 462,6114 462,6114 513,63743742 512,89725918 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-30 1,1168 1,1152 461,4443 461,4443 515,34099424 514,60268336 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-03-31 1,1163 1,1147 467,0678 467,0678 521,38778514 520,64047666 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-01 1,1173 1,1157 472,6445 472,6445 528,08569985 527,32946865 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-04 1,1198 1,1182 468,7342 468,7342 524,88855716 524,13858244 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-05 1,1223 1,1207 468,9855 468,9855 526,34242665 525,59204985 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-06 1,1243 1,1227 472,6673 472,6673 531,41984539 530,66357771 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-07 1,1208 1,1192 474,1235 474,1235 531,3976188 530,6390212 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-08 1,1208 1,1192 475,4368 475,4368 532,86956544 532,10886656 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-11 1,1203 1,1187 471,3657 471,3657 528,07099371 527,31680859 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-12 1,1173 1,1157 472,0713 472,0713 527,44526349 526,68994941 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-13 1,1183 1,1167 472,3362 472,3362 528,21357246 527,45783454 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-14 1,1153 1,1137 469,733 469,733 523,8932149 523,1416421 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-15 1,1178 1,1162 456,0249 456,0249 509,74463322 509,01499338 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-18 1,1148 1,1132 443,7492 443,7492 494,69160816 493,98160944 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-19 1,1213 1,1197 448,3329 448,3329 502,71568077 501,99834813 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-20 1,1218 1,1202 445,2922 445,2922 499,52878996 498,81632244 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-21 1,1253 1,1237 446,605 446,605 502,5646065 501,8500385 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-22 1,1248 1,1232 448,7648 448,7648 504,77064704 504,05262336 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-25 1,1258 1,1242 453,1743 453,1743 510,18362694 509,45854806 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-26 1,1243 1,1227 451,1591 451,1591 507,23817613 506,51632157 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-27 1,1253 1,1237 445,1446 445,1446 500,92121838 500,20898702 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-28 1,1248 1,1232 441,9285 441,9285 497,0811768 496,3740912 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-04-29 1,1268 1,1252 442,653 442,653 498,7814004 498,0731556 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-02 1,1313 1,1297 447,9762 447,9762 506,79547506 506,07871314 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-03 1,1343 1,1327 445,4875 445,4875 505,31647125 504,60369125 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-04 1,1323 1,1307 448,7208 448,7208 508,08656184 507,36860856 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-06 1,1313 1,1297 456,471 456,471 516,4056423 515,6752887 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-09 1,1288 1,1272 457,4977 457,4977 516,42340376 515,69140744 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-10 1,1328 1,1312 453,4439 453,4439 513,66124992 512,93573968 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-11 1,1398 1,1382 453,6677 453,6677 517,09044446 516,36457614 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-12 1,1418 1,1402 454,154 454,154 518,5530372 517,8263908 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-13 1,1373 1,1357 455,6451 455,6451 518,20517223 517,47614007 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-18 1,1373 1,1357 459,7325 459,7325 522,85377225 522,11820025 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-19 1,1328 1,1312 464,9099 464,9099 526,64993472 525,90607888 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-20 1,1338 1,1322 466,3055 466,3055 528,6971759 527,9510871 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-23 1,1303 1,1287 464,9488 464,9488 525,53162864 524,78771056 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-24 1,1323 1,1307 464,4461 464,4461 525,89231903 525,14920527 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-25 1,1353 1,1337 458,8904 458,8904 520,97827112 520,24404648 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-26 1,1478 1,1462 460,8391 460,8391 528,95111898 528,21377642 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-27 1,1528 1,1512 465,7504 465,7504 536,91706112 536,17186048 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-30 1,1538 1,1522 469,1822 469,1822 541,34242236 540,59173084 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-05-31 1,1488 1,1472 469,19 469,19 539,005472 538,254768 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-01 1,1533 1,1517 472,1588 472,1588 544,54074404 543,78528996 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-02 1,1563 1,1547 473,7401 473,7401 547,78567763 547,02769347 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-03 1,1533 1,1517 474,326 474,326 547,0401758 546,2812542 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-07 1,1613 1,1597 471,3691 471,3691 547,40093583 546,64674527 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-08 1,1593 1,1577 473,778 473,778 549,2508354 548,4927906 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-09 1,1618 1,1602 475,4162 475,4162 552,33854116 551,57787524 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-10 1,1648 1,1632 477,1165 477,1165 555,7452992 554,9819128 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-13 1,1778 1,1762 480,1839 480,1839 565,56059742 564,79230318 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-14 1,1823 1,1807 482,4319 482,4319 570,37923537 569,60734433 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-15 1,1798 1,1782 484,562 484,562 571,6862476 570,9109484 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-16 1,1773 1,1757 486,3691 486,3691 572,60234143 571,82415087 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-17 1,1798 1,1782 488,6674 488,6674 576,52979852 575,74793068 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-20 1,1728 1,1712 487,2305 487,2305 571,4239304 570,6443616 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-21 1,1803 1,1787 488,1271 488,1271 576,13641613 575,35541277 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-22 1,1773 1,1757 491,1829 491,1829 578,26962817 577,48373553 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-23 1,1853 1,1837 497,1743 497,1743 589,30069779 588,50521891 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-27 1,1838 1,1822 488,7005 488,7005 578,5236519 577,7417311 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-28 1,1833 1,1817 494,0344 494,0344 584,59090552 583,80045048 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-29 1,1888 1,1872 492,1103 492,1103 585,02072464 584,23334816 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-06-30 1,1933 1,1917 490,1494 490,1494 584,89527902 584,11103998 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-01 1,1983 1,1967 492,8039 492,8039 590,52691337 589,73842713 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-04 1,2048 1,2032 494,8442 494,8442 596,18829216 595,39654144 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-05 1,1983 1,1967 496,1907 496,1907 594,58531581 593,79141069 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-06 1,1918 1,1902 494,9768 494,9768 589,91335024 589,12138736 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-07 1,1883 1,1867 487,2566 487,2566 579,00701778 578,22740722 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-08 1,1943 1,1927 493,0868 493,0868 588,89356524 588,10462636 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-11 1,1998 1,1982 497,6401 497,6401 597,06859198 596,27236782 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-12 1,1983 1,1967 497,7066 497,7066 596,40181878 595,60548822 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-13 1,1908 1,1892 500,7869 500,7869 596,33704052 595,53578148 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-14 1,1838 1,1822 503,284 503,284 595,7875992 594,9823448 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-15 1,1823 1,1807 502,7051 502,7051 594,34823973 593,54391157 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-18 1,1808 1,1792 507,6798 507,6798 599,46830784 598,65602016 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-19 1,1768 1,1752 513,0028 513,0028 603,70169504 602,88089056 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-20 1,1768 1,1752 507,823 507,823 597,6061064 596,7935896 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-21 1,1863 1,1847 509,4684 509,4684 604,38236292 603,56721348 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-22 1,1868 1,1852 510,7751 510,7751 606,18788868 605,37064852 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-25 1,1863 1,1847 507,9748 507,9748 602,61050524 601,79774556 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-26 1,1913 1,1897 508,0709 508,0709 605,26486317 604,45194973 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-27 1,1978 1,1962 511,4898 511,4898 612,66248244 611,84409876 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-28 1,1928 1,1912 513,5484 513,5484 612,56053152 611,73885408 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-07-29 1,1883 1,1867 512,605 512,605 609,1285215 608,3083535 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-01 1,1963 1,1947 511,2911 511,2911 611,65754293 610,83947717 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-02 1,1983 1,1967 515,6932 515,6932 617,95516156 617,13005244 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-03 1,1933 1,1917 513,8465 513,8465 613,17302845 612,35087405 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-04 1,1933 1,1917 510,8381 510,8381 609,58310473 608,76576377 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-05 1,1873 1,1857 511,2262 511,2262 606,97886726 606,16090534 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-08 1,1783 1,1767 510,7417 510,7417 601,80694511 600,98975839 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-09 1,1818 1,1802 514,1666 514,1666 607,64208788 606,81942132 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-10 1,1843 1,1827 518,0931 518,0931 613,57765833 612,74870937 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-11 1,1828 1,1812 515,949 515,949 610,2644772 609,4389588 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-12 1,1793 1,1777 514,6701 514,6701 606,95044893 606,12697677 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-15 1,1768 1,1752 520,5884 520,5884 612,62842912 611,79548768 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-16 1,1653 1,1637 516,8148 516,8148 602,24428644 601,41738276 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-17 1,1773 1,1757 515,0405 515,0405 606,35718065 605,53311585 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-18 1,1773 1,1757 514,7766 514,7766 606,04649118 605,22284862 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-19 1,1748 1,1732 518,2615 518,2615 608,8536102 608,0243918 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-22 1,1728 1,1712 520,9314 520,9314 610,94834592 610,11485568 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-23 1,1708 1,1692 519,6342 519,6342 608,38772136 607,55630664 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-24 1,1743 1,1727 514,1498 514,1498 603,76611014 602,94347046 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-25 1,1768 1,1752 510,628 510,628 600,9070304 600,0900256 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-26 1,1773 1,1757 508,4498 508,4498 598,59794954 597,78442986 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-29 1,1798 1,1782 504,4925 504,4925 595,2002515 594,3930635 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-30 1,1793 1,1777 508,5137 508,5137 599,69020641 598,87658449 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-08-31 1,1848 1,1832 507,9846 507,9846 601,86015408 601,04737872 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-01 1,1888 1,1872 507,9375 507,9375 603,8361 603,0234 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-02 1,1948 1,1932 505,2611 505,2611 603,68596228 602,87754452 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-05 1,1903 1,1887 510,1863 510,1863 607,27475289 606,45845481 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-06 1,1898 1,1882 514,2396 514,2396 611,84227608 611,01949272 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-07 1,1938 1,1922 515,4593 515,4593 615,35531234 614,53057746 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-08 1,1988 1,1972 516,8486 516,8486 619,59810168 618,77114392 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-09 1,2008 1,1992 519,7723 519,7723 624,14257784 623,31094216 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-12 1,1953 1,1937 526,4089 526,4089 629,21655817 628,37430393 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-13 1,1938 1,1922 524,7957 524,7957 626,50110666 625,66143354 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-14 1,1953 1,1937 525,0181 525,0181 627,55413493 626,71410597 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-15 1,2003 1,1987 527,7727 527,7727 633,48557181 632,64113549 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-16 1,2008 1,1992 530,7483 530,7483 637,32255864 636,47336136 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-19 1,1973 1,1957 534,9218 534,9218 640,46187114 639,60599626 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-20 1,2018 1,2002 534,9782 534,9782 642,93680076 642,08083564 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-21 1,1988 1,1972 534,8016 534,8016 641,12015808 640,26447552 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-22 1,2018 1,2002 533,3259 533,3259 640,95106662 640,09774518 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-23 1,2043 1,2027 532,6403 532,6403 641,45871329 640,60648881 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-26 1,1993 1,1977 544,3568 544,3568 652,84711024 651,97613936 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-27 1,2003 1,1987 544,9174 544,9174 654,06435522 653,19248738 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-28 1,2013 1,1997 548,012 548,012 658,3268156 657,4499964 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-29 1,2023 1,2007 551,2256 551,2256 662,73853888 661,85657792 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-09-30 1,1918 1,1902 553,2616 553,2616 659,37717488 658,49195632 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-03 1,1798 1,1782 557,3188 557,3188 657,52472024 656,63301016 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-04 1,1838 1,1822 560,022 560,022 662,9540436 662,0580084 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-05 1,1788 1,1772 550,6792 550,6792 649,14064096 648,25955424 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-06 1,1798 1,1782 534,7996 534,7996 630,95656808 630,10088872 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-07 1,1828 1,1812 536,6329 536,6329 634,72939412 633,87078148 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-10 1,1808 1,1792 538,2284 538,2284 635,54009472 634,67892928 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-11 1,1898 1,1882 541,1253 541,1253 643,83088194 642,96508146 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-12 1,1918 1,1902 533,1428 533,1428 635,39958904 634,54656056 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-13 1,2023 1,2007 528,2572 528,2572 635,12363156 634,27842004 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-14 1,2028 1,2012 522,2395 522,2395 628,1496706 627,3140874 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-17 1,2118 1,2102 524,4186 524,4186 635,49045948 634,65138972 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-18 1,2118 1,2102 520,2636 520,2636 630,45543048 629,62300872 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-19 1,2103 1,2087 510,4581 510,4581 617,80743843 616,99070547 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-20 1,2173 1,2157 507,4016 507,4016 617,65996768 616,84812512 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-21 1,2183 1,2167 510,8453 510,8453 622,36282899 621,54547651 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-24 1,2243 1,2227 519,9814 519,9814 636,61322802 635,78125778 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-25 1,2203 1,2187 518,9379 518,9379 633,25991937 632,42961873 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-26 1,2148 1,2132 518,791 518,791 630,2273068 629,3972412 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-27 1,2228 1,2212 510,8644 510,8644 624,68498832 623,86760528 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-28 1,2188 1,2172 513,6042 513,6042 625,98079896 625,15903224 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-10-31 1,2233 1,2217 523,0054 523,0054 639,79250582 638,95569718 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-01 1,2273 1,2257 526,0224 526,0224 645,58729152 644,74565568 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-02 1,2338 1,2322 529,7903 529,7903 653,65527214 652,80760766 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-03 1,2398 1,2382 537,4586 537,4586 666,34117228 665,48123852 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-04 1,2308 1,2292 539,0124 539,0124 663,41646192 662,55404208 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-07 1,2348 1,2332 541,4118 541,4118 668,53529064 667,66903176 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-08 1,2298 1,2282 542,8777 542,8777 667,63099546 666,76239114 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-09 1,2278 1,2262 540,2152 540,2152 663,27622256 662,41187824 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-10 1,2428 1,2412 540,5408 540,5408 671,78410624 670,91924096 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-11 1,2453 1,2437 546,9534 546,9534 681,12106902 680,24594358 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-14 1,2323 1,2307 547,1743 547,1743 674,28288989 673,40741101 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-15 1,2293 1,2277 548,4649 548,4649 674,22790157 673,35035773 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-16 1,2298 1,2282 550,869 550,869 677,4586962 676,5773058 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-17 1,2318 1,2302 557,2123 557,2123 686,37411114 685,48257146 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-18 1,2233 1,2217 558,5779 558,5779 683,30834507 682,41462043 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-21 1,2168 1,2152 561,4985 561,4985 683,2313748 682,3329772 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-22 1,2143 1,2127 558,9022 558,9022 678,67494146 677,78069794 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-23 1,2093 1,2077 563,7589 563,7589 681,75363777 680,85162353 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-24 1,2083 1,2067 563,754 563,754 681,1839582 680,2819518 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-25 1,2028 1,2012 564,7448 564,7448 679,27504544 678,37145376 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-28 1,2068 1,2052 563,2159 563,2159 679,68894812 678,78780268 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-29 1,1968 1,1952 566,7848 566,7848 678,32804864 677,42119296 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-11-30 1,1983 1,1967 568,0057 568,0057 680,64123031 679,73242119 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-01 1,1963 1,1947 576,9248 576,9248 690,17513824 689,25205856 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-02 1,1993 1,1977 579,3966 579,3966 694,87034238 693,94330782 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-05 1,1908 1,1892 575,888 575,888 685,7674304 684,8460096 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-06 1,1948 1,1932 584,027 584,027 697,7954596 696,8610164 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-07 1,1833 1,1817 583,8108 583,8108 690,82331964 689,88922236 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-08 1,1848 1,1832 581,5945 581,5945 689,0731636 688,1426124 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-12 1,1888 1,1872 583,2491 583,2491 693,36653008 692,43333152 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-13 1,1853 1,1837 585,4732 585,4732 693,96138396 693,02462684 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-14 1,1888 1,1872 581,4965 581,4965 691,2830392 690,3526448 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-15 1,1868 1,1852 580,2822 580,2822 688,67891496 687,75046344 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-16 1,1943 1,1927 581,6922 581,6922 694,71499446 693,78428694 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-19 1,1818 1,1802 586,5455 586,5455 693,1794719 692,2409991 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-20 1,1728 1,1712 594,9466 594,9466 697,75337248 696,80145792 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-21 1,1728 1,1712 601,3432 601,3432 705,25530496 704,29315584 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-22 1,1778 1,1762 600,4625 600,4625 707,2247325 706,2639925 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-23 1,1738 1,1722 602,4763 602,4763 707,18668094 706,22271886 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-27 1,1833 1,1817 599,3587 599,3587 709,22114971 708,26217579 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-28 1,1763 1,1747 602,1999 602,1999 708,36774237 707,40422253 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-29 1,1718 1,1702 604,3325 604,3325 708,1568235 707,1898915 984187 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Global NOK 2005-12-30 1,1768 1,1752 601,8126 601,8126 708,21306768 707,25016752 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-03 1,0958 1,0942 189,9463 189,9463 208,14315554 207,83924146 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-04 1,0963 1,0947 190,8255 190,8255 209,20199565 208,89667485 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-05 1,0923 1,0907 186,5341 186,5341 203,75119743 203,45274287 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-07 1,0978 1,0962 187,5693 187,5693 205,91357754 205,61346666 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-10 1,1082 1,1066 187,6571 187,6571 207,96159822 207,66134686 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-11 1,1082 1,1066 187,068 187,068 207,3087576 207,0094488 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-12 1,1038 1,1022 184,1926 184,1926 203,31179188 203,01708372 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-13 1,1023 1,1007 187,5241 187,5241 206,70781543 206,40777687 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-14 1,1073 1,1057 190,5559 190,5559 211,00254807 210,69765863 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-17 1,1058 1,1042 192,0235 192,0235 212,3395863 212,0323487 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-18 1,1083 1,1067 190,9053 190,9053 211,58034399 211,27489551 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-19 1,1083 1,1067 190,8519 190,8519 211,52116077 211,21579773 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-20 1,1073 1,1057 189,9058 189,9058 210,28269234 209,97884306 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-21 1,1038 1,1022 191,0008 191,0008 210,82668304 210,52108176 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-24 1,1053 1,1037 191,009 191,009 211,1222477 210,8166333 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-25 1,1063 1,1047 193,3254 193,3254 213,87589002 213,56656938 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-26 1,1038 1,1022 195,4943 195,4943 215,78660834 215,47381746 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-27 1,0988 1,0972 196,2944 196,2944 215,68828672 215,37421568 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-28 1,1033 1,1017 198,4146 198,4146 218,91082818 218,59336482 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-01-31 1,1028 1,1012 201,8378 201,8378 222,58672584 222,26378536 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-01 1,0983 1,0967 201,7287 201,7287 221,55863121 221,23586529 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-02 1,0988 1,0972 202,9885 202,9885 223,0437638 222,7189822 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-03 1,0983 1,0967 205,0278 205,0278 225,18203274 224,85398826 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-04 1,0968 1,0952 207,3705 207,3705 227,4439644 227,1121716 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-07 1,0938 1,0922 210,7479 210,7479 230,51605302 230,17885638 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-08 1,0898 1,0882 211,3852 211,3852 230,36759096 230,02937464 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-09 1,0843 1,0827 209,5099 209,5099 227,17158457 226,83636873 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-10 1,0848 1,0832 209,1308 209,1308 226,86509184 226,53048256 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-11 1,0788 1,0772 212,0529 212,0529 228,76266852 228,42338388 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-14 1,0828 1,0812 213,3228 213,3228 230,98592784 230,64461136 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-15 1,0833 1,0817 215,3658 215,3658 233,30577114 232,96118586 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-16 1,0848 1,0832 213,0408 213,0408 231,10665984 230,76579456 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-17 1,0863 1,0847 211,6364 211,6364 229,90062132 229,56200308 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-18 1,0943 1,0927 211,1342 211,1342 231,04415506 230,70634034 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-21 1,0998 1,0982 211,2493 211,2493 232,33198014 231,99398126 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-22 1,1028 1,1012 206,3436 206,3436 227,55572208 227,22557232 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-23 1,1023 1,1007 206,7903 206,7903 227,94494769 227,61408321 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-24 1,1013 1,0997 211,655 211,655 233,0956515 232,7570035 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-25 1,1018 1,1002 214,6631 214,6631 236,51580358 236,17234262 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-02-28 1,0968 1,0952 215,2878 215,2878 236,12765904 235,78319856 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-01 1,1013 1,0997 213,9304 213,9304 235,60154952 235,25926088 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-02 1,1068 1,1052 214,6032 214,6032 237,52282176 237,17945664 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-03 1,1058 1,1042 217,0807 217,0807 240,04783806 239,70050894 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-04 1,1013 1,0997 217,0743 217,0743 239,06392659 238,71660771 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-07 1,1003 1,0987 216,1712 216,1712 237,85317136 237,50729744 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-08 1,1033 1,1017 214,3867 214,3867 236,53284611 236,18982739 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-09 1,1053 1,1037 212,943 212,943 235,3658979 235,0251891 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-10 1,1053 1,1037 208,0653 208,0653 229,97457609 229,64167161 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-11 1,1113 1,1097 208,6382 208,6382 231,85963166 231,52581054 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-14 1,1113 1,1097 206,7632 206,7632 229,77594416 229,44512304 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-15 1,1138 1,1122 204,837 204,837 228,1474506 227,8197114 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-16 1,1128 1,1112 201,3356 201,3356 224,04625568 223,72411872 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-17 1,1193 1,1177 201,2205 201,2205 225,22610565 224,90415285 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-18 1,1193 1,1177 202,2158 202,2158 226,34014494 226,01659966 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-21 1,1218 1,1202 201,8689 201,8689 226,45653202 226,13354178 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-22 1,1183 1,1167 203,4641 203,4641 227,53390303 227,20836047 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-23 1,1158 1,1142 200,5817 200,5817 223,80906086 223,48813014 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-29 1,1103 1,1087 199,3805 199,3805 221,37216915 221,05316035 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-30 1,1168 1,1152 200,0411 200,0411 223,40590048 223,08583472 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-03-31 1,1163 1,1147 203,3352 203,3352 226,98308376 226,65774744 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-01 1,1173 1,1157 207,2831 207,2831 231,59740763 231,26575467 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-04 1,1198 1,1182 203,7566 203,7566 228,16664068 227,84063012 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-05 1,1223 1,1207 203,4845 203,4845 228,37065435 228,04507915 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-06 1,1243 1,1227 205,5966 205,5966 231,15225738 230,82330282 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-07 1,1208 1,1192 206,6254 206,6254 231,58574832 231,25514768 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-08 1,1208 1,1192 207,4337 207,4337 232,49169096 232,15979704 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-11 1,1203 1,1187 205,2557 205,2557 229,94796071 229,61955159 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-12 1,1173 1,1157 205,3215 205,3215 229,40571195 229,07719755 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-13 1,1183 1,1167 206,2541 206,2541 230,65396003 230,32395347 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-14 1,1153 1,1137 201,7365 201,7365 224,99671845 224,67394005 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-15 1,1178 1,1162 194,1216 194,1216 216,98912448 216,67852992 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-18 1,1148 1,1132 189,0923 189,0923 210,80009604 210,49754836 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-19 1,1213 1,1197 192,1058 192,1058 215,40823354 215,10086426 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-20 1,1218 1,1202 191,424 191,424 214,7394432 214,4331648 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-21 1,1253 1,1237 191,8887 191,8887 215,93235411 215,62533219 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-22 1,1248 1,1232 194,251 194,251 218,4935248 218,1827232 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-25 1,1258 1,1242 195,3651 195,3651 219,94202958 219,62944542 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-26 1,1243 1,1227 193,843 193,843 217,9376849 217,6275361 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-27 1,1253 1,1237 190,7113 190,7113 214,60742589 214,30228781 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-28 1,1248 1,1232 188,1952 188,1952 211,68196096 211,38084864 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-04-29 1,1268 1,1252 188,3285 188,3285 212,2085538 211,9072282 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-02 1,1313 1,1297 189,9532 189,9532 214,89405516 214,59013004 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-03 1,1343 1,1327 189,7426 189,7426 215,22503118 214,92144302 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-04 1,1323 1,1307 192,7683 192,7683 218,27154609 217,96311681 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-06 1,1313 1,1297 199,1402 199,1402 225,28730826 224,96868394 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-09 1,1288 1,1272 198,8318 198,8318 224,44133584 224,12320496 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-10 1,1328 1,1312 196,4339 196,4339 222,52032192 222,20602768 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-11 1,1398 1,1382 197,1663 197,1663 224,73014874 224,41468266 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-12 1,1418 1,1402 198,4404 198,4404 226,57924872 226,26174408 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-13 1,1373 1,1357 199,1205 199,1205 226,45974465 226,14115185 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-18 1,1373 1,1357 202,0058 202,0058 229,74119634 229,41798706 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-19 1,1328 1,1312 204,131 204,131 231,2395968 230,9129872 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-20 1,1338 1,1322 205,0481 205,0481 232,48353578 232,15545882 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-23 1,1303 1,1287 203,7703 203,7703 230,32157009 229,99553761 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-24 1,1323 1,1307 203,0728 203,0728 229,93933144 229,61441496 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-25 1,1353 1,1337 200,0609 200,0609 227,12913977 226,80904233 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-26 1,1478 1,1462 200,5555 200,5555 230,1976029 229,8767141 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-27 1,1528 1,1512 203,3877 203,3877 234,46534056 234,13992024 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-30 1,1538 1,1522 206,2799 206,2799 238,00574862 237,67570078 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-05-31 1,1488 1,1472 206,0317 206,0317 236,68921696 236,35956624 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-01 1,1533 1,1517 206,8571 206,8571 238,56829343 238,23732207 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-02 1,1563 1,1547 209,253 209,253 241,9592439 241,6244391 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-03 1,1533 1,1517 210,346 210,346 242,5920418 242,2554882 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-07 1,1613 1,1597 207,3911 207,3911 240,84328443 240,51145867 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-08 1,1593 1,1577 209,4744 209,4744 242,84367192 242,50851288 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-09 1,1618 1,1602 210,3743 210,3743 244,41286174 244,07626286 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-10 1,1648 1,1632 212,9687 212,9687 248,06594176 247,72519184 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-13 1,1778 1,1762 213,301 213,301 251,2259178 250,8846362 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-14 1,1823 1,1807 214,8664 214,8664 254,03654472 253,69275848 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-15 1,1798 1,1782 216,4183 216,4183 255,33031034 254,98404106 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-16 1,1773 1,1757 217,7296 217,7296 256,33305808 255,98469072 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-17 1,1798 1,1782 217,8439 217,8439 257,01223322 256,66368298 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-20 1,1728 1,1712 217,2216 217,2216 254,75749248 254,40993792 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-21 1,1803 1,1787 216,0942 216,0942 255,05598426 254,71023354 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-22 1,1773 1,1757 218,0155 218,0155 256,66964815 256,32082335 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-23 1,1853 1,1837 222,2802 222,2802 263,46872106 263,11307274 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-27 1,1838 1,1822 218,4241 218,4241 258,57044958 258,22097102 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-28 1,1833 1,1817 221,1031 221,1031 261,63129823 261,27753327 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-29 1,1888 1,1872 220,7191 220,7191 262,39086608 262,03771552 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-06-30 1,1933 1,1917 219,5177 219,5177 261,95047141 261,59924309 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-01 1,1983 1,1967 221,7116 221,7116 265,67701028 265,32227172 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-04 1,2048 1,2032 222,9618 222,9618 268,62437664 268,26763776 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-05 1,1983 1,1967 222,1465 222,1465 266,19815095 265,84271655 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-06 1,1918 1,1902 221,4863 221,4863 263,96737234 263,61299426 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-07 1,1883 1,1867 218,0936 218,0936 259,16062488 258,81167512 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-08 1,1943 1,1927 221,9369 221,9369 265,05923967 264,70414063 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-11 1,1998 1,1982 224,3285 224,3285 269,1493343 268,7904087 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-12 1,1983 1,1967 224,9331 224,9331 269,53733373 269,17744077 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-13 1,1908 1,1892 227,6912 227,6912 271,13468096 270,77037504 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-14 1,1838 1,1822 230,0107 230,0107 272,28666666 271,91864954 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-15 1,1823 1,1807 229,1008 229,1008 270,86587584 270,49931456 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-18 1,1808 1,1792 231,6575 231,6575 273,541176 273,170524 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-19 1,1768 1,1752 234,4434 234,4434 275,89299312 275,51788368 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-20 1,1768 1,1752 232,394 232,394 273,4812592 273,1094288 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-21 1,1863 1,1847 231,7969 231,7969 274,98066247 274,60978743 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-22 1,1868 1,1852 232,0339 232,0339 275,37783252 275,00657828 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-25 1,1863 1,1847 230,2249 230,2249 273,11579887 272,74743903 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-26 1,1913 1,1897 230,439 230,439 274,5219807 274,1532783 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-27 1,1978 1,1962 232,9481 232,9481 279,02523418 278,65251722 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-28 1,1928 1,1912 235,1612 235,1612 280,50027936 280,12402144 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-07-29 1,1883 1,1867 235,8048 235,8048 280,20684384 279,82955616 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-01 1,1963 1,1947 236,2253 236,2253 282,59632639 282,21836591 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-02 1,1983 1,1967 239,1543 239,1543 286,57859769 286,19595081 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-03 1,1933 1,1917 237,8373 237,8373 283,81125009 283,43071041 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-04 1,1933 1,1917 237,5948 237,5948 283,52187484 283,14172316 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-05 1,1873 1,1857 237,9329 237,9329 282,49773217 282,11703953 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-08 1,1783 1,1767 236,9479 236,9479 279,19571057 278,81659393 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-09 1,1818 1,1802 238,9983 238,9983 282,44819094 282,06579366 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-10 1,1843 1,1827 240,8938 240,8938 285,29052734 284,90509726 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-11 1,1828 1,1812 239,9398 239,9398 283,80079544 283,41689176 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-12 1,1793 1,1777 238,9802 238,9802 281,82934986 281,44698154 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-15 1,1768 1,1752 242,6993 242,6993 285,60853624 285,22021736 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-16 1,1653 1,1637 240,8925 240,8925 280,71203025 280,32660225 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-17 1,1773 1,1757 238,9585 238,9585 281,32584205 280,94350845 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-18 1,1773 1,1757 237,2735 237,2735 279,34209155 278,96245395 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-19 1,1748 1,1732 238,4804 238,4804 280,16677392 279,78520528 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-22 1,1728 1,1712 240,7803 240,7803 282,38713584 282,00188736 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-23 1,1708 1,1692 239,353 239,353 280,2344924 279,8515276 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-24 1,1743 1,1727 234,557 234,557 275,4402851 275,0649939 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-25 1,1768 1,1752 235,1678 235,1678 276,74546704 276,36919856 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-26 1,1773 1,1757 235,0237 235,0237 276,69340201 276,31736409 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-29 1,1798 1,1782 231,568 231,568 273,2039264 272,8334176 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-30 1,1793 1,1777 234,1753 234,1753 276,16293129 275,78825081 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-08-31 1,1848 1,1832 235,2139 235,2139 278,68142872 278,30508648 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-01 1,1888 1,1872 236,2832 236,2832 280,89346816 280,51541504 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-02 1,1948 1,1932 236,7963 236,7963 282,92421924 282,54534516 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-05 1,1903 1,1887 237,4801 237,4801 282,67256303 282,29259487 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-06 1,1898 1,1882 240,0142 240,0142 285,56889516 285,18487244 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-07 1,1938 1,1922 240,6569 240,6569 287,29620722 286,91115618 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-08 1,1988 1,1972 241,368 241,368 289,3519584 288,9657696 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-09 1,2008 1,1992 242,5841 242,5841 291,29498728 290,90685272 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-12 1,1953 1,1937 247,5244 247,5244 295,86591532 295,46987628 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-13 1,1938 1,1922 246,3731 246,3731 294,12020678 293,72600982 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-14 1,1953 1,1937 247,5133 247,5133 295,85264749 295,45662621 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-15 1,2003 1,1987 250,0459 250,0459 300,13009377 299,73002033 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-16 1,2008 1,1992 252,8043 252,8043 303,56740344 303,16291656 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-19 1,1973 1,1957 256,555 256,555 307,1733015 306,7628135 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-20 1,2018 1,2002 258,3277 258,3277 310,45822986 310,04490554 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-21 1,1988 1,1972 259,5008 259,5008 311,08955904 310,67435776 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-22 1,2018 1,2002 260,004 260,004 312,4728072 312,0568008 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-23 1,2043 1,2027 259,2782 259,2782 312,24873626 311,83389114 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-26 1,1993 1,1977 265,0938 265,0938 317,92699434 317,50284426 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-27 1,2003 1,1987 265,8134 265,8134 319,05582402 318,63052258 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-28 1,2013 1,1997 267,3561 267,3561 321,17488293 320,74711317 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-29 1,2023 1,2007 271,352 271,352 326,2465096 325,8123464 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-09-30 1,1918 1,1902 272,3818 272,3818 324,62462924 324,18881836 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-03 1,1798 1,1782 276,6964 276,6964 326,44641272 326,00369848 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-04 1,1838 1,1822 278,9361 278,9361 330,20455518 329,75825742 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-05 1,1788 1,1772 272,7861 272,7861 321,56025468 321,12379692 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-06 1,1798 1,1782 260,9141 260,9141 307,82645518 307,40899262 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-07 1,1828 1,1812 262,792 262,792 310,8303776 310,4099104 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-10 1,1808 1,1792 266,2819 266,2819 314,42566752 313,99961648 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-11 1,1898 1,1882 269,0378 269,0378 320,10117444 319,67071396 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-12 1,1918 1,1902 263,7544 263,7544 314,34249392 313,92048688 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-13 1,2023 1,2007 258,8259 258,8259 311,18637957 310,77225813 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-14 1,2028 1,2012 254,3051 254,3051 305,87817428 305,47128612 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-17 1,2118 1,2102 255,9721 255,9721 310,18699078 309,77743542 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-18 1,2118 1,2102 252,8906 252,8906 306,45282908 306,04820412 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-19 1,2103 1,2087 244,9941 244,9941 296,51635923 296,12436867 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-20 1,2173 1,2157 243,9761 243,9761 296,99210653 296,60174477 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-21 1,2183 1,2167 247,1182 247,1182 301,06410306 300,66871394 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-24 1,2243 1,2227 252,9845 252,9845 309,72892335 309,32414815 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-25 1,2203 1,2187 251,3919 251,3919 306,77353557 306,37130853 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-26 1,2148 1,2132 251,9839 251,9839 306,11004172 305,70686748 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-27 1,2228 1,2212 248,0574 248,0574 303,32458872 302,92769688 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-28 1,2188 1,2172 249,0788 249,0788 303,57724144 303,17871536 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-10-31 1,2233 1,2217 253,6898 253,6898 310,33873234 309,93282866 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-01 1,2273 1,2257 257,0113 257,0113 315,42996849 315,01875041 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-02 1,2338 1,2322 259,8326 259,8326 320,58146188 320,16572972 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-03 1,2398 1,2382 263,76 263,76 327,009648 326,587632 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-04 1,2308 1,2292 265,3951 265,3951 326,64828908 326,22365692 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-07 1,2348 1,2332 268,1264 268,1264 331,08247872 330,65347648 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-08 1,2298 1,2282 268,6431 268,6431 330,37728438 329,94745542 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-09 1,2278 1,2262 268,0735 268,0735 329,1406433 328,7117257 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-10 1,2428 1,2412 269,0432 269,0432 334,36688896 333,93641984 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-11 1,2453 1,2437 271,4672 271,4672 338,05810416 337,62375664 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-14 1,2323 1,2307 271,4615 271,4615 334,52200645 334,08766805 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-15 1,2293 1,2277 272,7816 272,7816 335,33042088 334,89397032 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-16 1,2298 1,2282 274,5001 274,5001 337,58022298 337,14102282 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-17 1,2318 1,2302 278,2817 278,2817 342,78739806 342,34214734 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-18 1,2233 1,2217 277,2749 277,2749 339,19038517 338,74674533 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-21 1,2168 1,2152 278,1859 278,1859 338,49660312 338,05150568 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-22 1,2143 1,2127 276,2764 276,2764 335,48243252 335,04039028 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-23 1,2093 1,2077 279,7505 279,7505 338,30227965 337,85467885 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-24 1,2083 1,2067 281,8473 281,8473 340,55609259 340,10513691 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-25 1,2028 1,2012 282,5917 282,5917 339,90129676 339,44915004 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-28 1,2068 1,2052 282,6103 282,6103 341,05411004 340,60193356 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-29 1,1968 1,1952 283,7156 283,7156 339,55083008 339,09688512 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-11-30 1,1983 1,1967 285,1234 285,1234 341,66337022 341,20717278 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-01 1,1963 1,1947 289,7327 289,7327 346,60722901 346,14365669 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-02 1,1993 1,1977 291,5999 291,5999 349,71576007 349,24920023 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-05 1,1908 1,1892 289,3348 289,3348 344,53987984 344,07694416 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-06 1,1948 1,1932 292,9769 292,9769 350,04880012 349,58003708 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-07 1,1833 1,1817 292,244 292,244 345,8123252 345,3447348 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-08 1,1848 1,1832 289,6301 289,6301 343,15374248 342,69033432 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-12 1,1888 1,1872 289,4421 289,4421 344,08876848 343,62566112 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-13 1,1853 1,1837 291,4465 291,4465 345,45153645 344,98522205 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-14 1,1888 1,1872 289,7119 289,7119 344,40950672 343,94596768 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-15 1,1868 1,1852 289,2027 289,2027 343,22576436 342,76304004 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-16 1,1943 1,1927 287,4173 287,4173 343,26248139 342,80261371 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-19 1,1818 1,1802 290,5384 290,5384 343,35828112 342,89341968 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-20 1,1728 1,1712 294,5007 294,5007 345,39042096 344,91921984 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-21 1,1728 1,1712 298,6359 298,6359 350,24018352 349,76236608 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-22 1,1778 1,1762 298,4793 298,4793 351,54891954 351,07135266 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-23 1,1738 1,1722 299,5145 299,5145 351,5701201 351,0908969 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-27 1,1833 1,1817 297,7874 297,7874 352,37183042 351,89537058 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-28 1,1763 1,1747 297,9248 297,9248 350,44894224 349,97226256 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-29 1,1718 1,1702 300,021 300,021 351,5646078 351,0845742 501981 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Kon-Tiki NOK 2005-12-30 1,1768 1,1752 300,1631 300,1631 353,23193608 352,75167512 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-03 1,0958 1,0942 710,0365 710,0365 778,0579967 776,9219383 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-04 1,0963 1,0947 709,4235 709,4235 777,74098305 776,60590545 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-05 1,0923 1,0907 704,7412 704,7412 769,78881276 768,66122684 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-07 1,0978 1,0962 705,0254 705,0254 773,97688412 772,84884348 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-10 1,1082 1,1066 709,8754 709,8754 786,68391828 785,54811764 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-11 1,1082 1,1066 709,1257 709,1257 785,85310074 784,71849962 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-12 1,1038 1,1022 706,1845 706,1845 779,4864511 778,3565559 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-13 1,1023 1,1007 711,5983 711,5983 784,39480609 783,25624881 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-14 1,1073 1,1057 717,5973 717,5973 794,59549029 793,44733461 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-17 1,1058 1,1042 724,5058 724,5058 801,15851364 799,99930436 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-18 1,1083 1,1067 723,1202 723,1202 801,43411766 800,27712534 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-19 1,1083 1,1067 725,8017 725,8017 804,40602411 803,24474139 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-20 1,1073 1,1057 722,0745 722,0745 799,55309385 798,39777465 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-21 1,1038 1,1022 726,2432 726,2432 801,62724416 800,46525504 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-24 1,1053 1,1037 726,9078 726,9078 803,45119134 802,28813886 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-25 1,1063 1,1047 731,7885 731,7885 809,57761755 808,40675595 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-26 1,1038 1,1022 733,876 733,876 810,0523288 808,8781272 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-27 1,0988 1,0972 736,2334 736,2334 808,97325992 807,79528648 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-28 1,1033 1,1017 737,0472 737,0472 813,18417576 812,00490024 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-01-31 1,1028 1,1012 739,2129 739,2129 815,20398612 814,02124548 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-01 1,0983 1,0967 745,0933 745,0933 818,33597139 817,14382211 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-02 1,0988 1,0972 749,4156 749,4156 823,45786128 822,25879632 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-03 1,0983 1,0967 755,0698 755,0698 829,29316134 828,08504966 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-04 1,0968 1,0952 760,9449 760,9449 834,60436632 833,38685448 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-07 1,0938 1,0922 771,4224 771,4224 843,78182112 842,54754528 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-08 1,0898 1,0882 769,4605 769,4605 838,5580529 837,3269161 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-09 1,0843 1,0827 768,5665 768,5665 833,35665595 832,12694955 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-10 1,0848 1,0832 764,6199 764,6199 829,45966752 828,23627568 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-11 1,0788 1,0772 775,1531 775,1531 836,23516428 834,99491932 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-14 1,0828 1,0812 780,478 780,478 845,1015784 843,8528136 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-15 1,0833 1,0817 779,4256 779,4256 844,35175248 843,10467152 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-16 1,0848 1,0832 776,3488 776,3488 842,18317824 840,94102016 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-17 1,0863 1,0847 782,7846 782,7846 850,33891098 849,08645562 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-18 1,0943 1,0927 778,2703 778,2703 851,66118929 850,41595681 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-21 1,0998 1,0982 778,7126 778,7126 856,42811748 855,18217732 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-22 1,1028 1,1012 771,1172 771,1172 850,38804816 849,15426064 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-23 1,1023 1,1007 769,989 769,989 848,7588747 847,5268923 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-24 1,1013 1,0997 776,4082 776,4082 855,05835066 853,81609754 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-25 1,1018 1,1002 784,6788 784,6788 864,55910184 863,30361576 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-02-28 1,0968 1,0952 790,4313 790,4313 866,94504984 865,68035976 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-01 1,1013 1,0997 788,2157 788,2157 868,06195041 866,80080529 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-02 1,1068 1,1052 787,6159 787,6159 871,73327812 870,47309268 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-03 1,1058 1,1042 795,2193 795,2193 879,35350194 878,08115106 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-04 1,1013 1,0997 801,0915 801,0915 882,24206895 880,96032255 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-07 1,1003 1,0987 802,5182 802,5182 883,01077546 881,72674634 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-08 1,1033 1,1017 798,1269 798,1269 880,57340877 879,29640573 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-09 1,1053 1,1037 795,9425 795,9425 879,75524525 878,48173725 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-10 1,1053 1,1037 783,2674 783,2674 865,74545722 864,49222938 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-11 1,1113 1,1097 787,4313 787,4313 875,07240369 873,81251361 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-14 1,1113 1,1097 787,4346 787,4346 875,07607098 873,81617562 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-15 1,1138 1,1122 787,9447 787,9447 877,61280686 876,35209534 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-16 1,1128 1,1112 780,9701 780,9701 869,06352728 867,81397512 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-17 1,1193 1,1177 779,5159 779,5159 872,51214687 871,26492143 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-18 1,1193 1,1177 781,6788 781,6788 874,93308084 873,68239476 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-21 1,1218 1,1202 783,3666 783,3666 878,78065188 877,52726532 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-22 1,1183 1,1167 784,9319 784,9319 877,78934377 876,53345273 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-23 1,1158 1,1142 780,3123 780,3123 870,67246434 869,42396466 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-29 1,1103 1,1087 774,9002 774,9002 860,37169206 859,13185174 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-30 1,1168 1,1152 769,8909 769,8909 859,81415712 858,58233168 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-03-31 1,1163 1,1147 778,483 778,483 869,0205729 867,7750001 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-01 1,1173 1,1157 787,542 787,542 879,9206766 878,6606094 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-04 1,1198 1,1182 790,6085 790,6085 885,3233983 884,0584247 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-05 1,1223 1,1207 789,0914 789,0914 885,59727822 884,33473198 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-06 1,1243 1,1227 791,0573 791,0573 889,38572239 888,12003071 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-07 1,1208 1,1192 800,1179 800,1179 896,77214232 895,49195368 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-08 1,1208 1,1192 804,1587 804,1587 901,30107096 900,01441704 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-11 1,1203 1,1187 797,8401 797,8401 893,82026403 892,54371987 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-12 1,1173 1,1157 797,9636 797,9636 891,56473028 890,28798852 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-13 1,1183 1,1167 798,9667 798,9667 893,48446061 892,20611389 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-14 1,1153 1,1137 792,948 792,948 884,3749044 883,1061876 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-15 1,1178 1,1162 775,7699 775,7699 867,15559422 865,91436238 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-18 1,1148 1,1132 749,1784 749,1784 835,18408032 833,98539488 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-19 1,1213 1,1197 755,0431 755,0431 846,62982803 845,42175907 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-20 1,1218 1,1202 755,6265 755,6265 847,6618077 846,4528053 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-21 1,1253 1,1237 753,0665 753,0665 847,42573245 846,22082605 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-22 1,1248 1,1232 758,5963 758,5963 853,26911824 852,05536416 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-25 1,1258 1,1242 759,0662 759,0662 854,55672796 853,34222204 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-26 1,1243 1,1227 756,452 756,452 850,4789836 849,2686604 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-27 1,1253 1,1237 742,0385 742,0385 835,01592405 833,82866245 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-28 1,1248 1,1232 735,0727 735,0727 826,80977296 825,63365664 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-04-29 1,1268 1,1252 735,6464 735,6464 828,92636352 827,74932928 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-02 1,1313 1,1297 737,4664 737,4664 834,29573832 833,11579208 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-03 1,1343 1,1327 737,9607 737,9607 837,06882201 835,88808489 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-04 1,1323 1,1307 735,1056 735,1056 832,36007088 831,18390192 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-06 1,1313 1,1297 753,2124 753,2124 852,10918812 850,90404828 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-09 1,1288 1,1272 751,4525 751,4525 848,239582 847,037258 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-10 1,1328 1,1312 750,8546 750,8546 850,56809088 849,36672352 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-11 1,1398 1,1382 749,1864 749,1864 853,92265872 852,72396048 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-12 1,1418 1,1402 749,2073 749,2073 855,44489514 854,24616346 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-13 1,1373 1,1357 750,075 750,075 853,0602975 851,8601775 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-18 1,1373 1,1357 753,1129 753,1129 856,51530117 855,31032053 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-19 1,1328 1,1312 762,2442 762,2442 863,47022976 862,25063904 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-20 1,1338 1,1322 764,7969 764,7969 867,12672522 865,90305018 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-23 1,1303 1,1287 763,1868 763,1868 862,63004004 861,40894116 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-24 1,1323 1,1307 763,2452 763,2452 864,22253996 863,00134764 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-25 1,1353 1,1337 759,1058 759,1058 861,81281474 860,59824546 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-26 1,1478 1,1462 763,4294 763,4294 876,26426532 875,04277828 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-27 1,1528 1,1512 766,3674 766,3674 883,46833872 882,24215088 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-30 1,1538 1,1522 773,9572 773,9572 892,99181736 891,75348584 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-05-31 1,1488 1,1472 775,3095 775,3095 890,6755536 889,4350584 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-01 1,1533 1,1517 779,441 779,441 898,9293053 897,6821997 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-02 1,1563 1,1547 782,5704 782,5704 904,88615352 903,63404088 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-03 1,1533 1,1517 785,1166 785,1166 905,47497478 904,21878822 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-07 1,1613 1,1597 790,375 790,375 917,8624875 916,5978875 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-08 1,1593 1,1577 793,0607 793,0607 919,39526951 918,12637239 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-09 1,1618 1,1602 796,4017 796,4017 925,25949506 923,98525234 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-10 1,1648 1,1632 803,7708 803,7708 936,23222784 934,94619456 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-13 1,1778 1,1762 803,4456 803,4456 946,29822768 945,01271472 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-14 1,1823 1,1807 808,0426 808,0426 955,34876598 954,05589782 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-15 1,1798 1,1782 811,8301 811,8301 957,79715198 956,49822382 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-16 1,1773 1,1757 814,9156 814,9156 959,40013588 958,09627092 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-17 1,1798 1,1782 823,1467 823,1467 971,14847666 969,83144194 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-20 1,1728 1,1712 824,426 824,426 966,8868128 965,5677312 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-21 1,1803 1,1787 823,9895 823,9895 972,55480685 971,23642365 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-22 1,1773 1,1757 826,1395 826,1395 972,61403335 971,29221015 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-23 1,1853 1,1837 836,8485 836,8485 991,91652705 990,57756945 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-27 1,1838 1,1822 826,9644 826,9644 978,96045672 977,63731368 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-28 1,1833 1,1817 832,2514 832,2514 984,80308162 983,47147938 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-29 1,1888 1,1872 835,7673 835,7673 993,56016624 992,22293856 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-06-30 1,1933 1,1917 832,1927 832,1927 993,05554891 991,72404059 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-01 1,1983 1,1967 840,2857 840,2857 1006,91435431 1005,56989719 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-04 1,2048 1,2032 840,8262 840,8262 1013,02740576 1011,68208384 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-05 1,1983 1,1967 846,6715 846,6715 1014,56645845 1013,21178405 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-06 1,1918 1,1902 847,2459 847,2459 1009,74766362 1008,39207018 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-07 1,1883 1,1867 835,9408 835,9408 993,34845264 992,01094736 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-08 1,1943 1,1927 854,9925 854,9925 1021,11754275 1019,74955475 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-11 1,1998 1,1982 860,0267 860,0267 1031,86003466 1030,48399194 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-12 1,1983 1,1967 855,6873 855,6873 1025,37009159 1024,00099191 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-13 1,1908 1,1892 862,4766 862,4766 1027,03713528 1025,65717272 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-14 1,1838 1,1822 867,2321 867,2321 1026,62935998 1025,24178862 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-15 1,1823 1,1807 865,8516 865,8516 1023,69634668 1022,31098412 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-18 1,1808 1,1792 866,3462 866,3462 1022,98159296 1021,59543904 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-19 1,1768 1,1752 870,3606 870,3606 1024,24035408 1022,84777712 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-20 1,1768 1,1752 867,2272 867,2272 1020,55296896 1019,16540544 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-21 1,1863 1,1847 869,6843 869,6843 1031,70648509 1030,31499021 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-22 1,1868 1,1852 872,3032 872,3032 1035,24943776 1033,85375264 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-25 1,1863 1,1847 878,1188 878,1188 1041,71233244 1040,30734236 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-26 1,1913 1,1897 877,2011 877,2011 1045,00967043 1043,60614867 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-27 1,1978 1,1962 880,3029 880,3029 1054,42681362 1053,01832898 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-28 1,1928 1,1912 885,8132 885,8132 1056,59798496 1055,18068384 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-07-29 1,1883 1,1867 891,7961 891,7961 1059,72130563 1058,29443187 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-01 1,1963 1,1947 890,675 890,675 1065,5145025 1064,0894225 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-02 1,1983 1,1967 897,9667 897,9667 1076,03349661 1074,59674989 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-03 1,1933 1,1917 900,1605 900,1605 1074,16152465 1072,72126785 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-04 1,1933 1,1917 896,9162 896,9162 1070,29010146 1068,85503554 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-05 1,1873 1,1857 898,583 898,583 1066,8875959 1065,4498631 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-08 1,1783 1,1767 902,9753 902,9753 1063,97579599 1062,53103551 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-09 1,1818 1,1802 903,5884 903,5884 1067,86077112 1066,41502968 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-10 1,1843 1,1827 910,6622 910,6622 1078,49724346 1077,04018394 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-11 1,1828 1,1812 912,6324 912,6324 1079,46160272 1078,00139088 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-12 1,1793 1,1777 912,2568 912,2568 1075,82444424 1074,36483336 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-15 1,1768 1,1752 916,3736 916,3736 1078,38845248 1076,92225472 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-16 1,1653 1,1637 912,0788 912,0788 1062,84542564 1061,38609956 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-17 1,1773 1,1757 899,9144 899,9144 1059,46922312 1058,02936008 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-18 1,1773 1,1757 898,4128 898,4128 1057,70138944 1056,26392896 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-19 1,1748 1,1732 911,5496 911,5496 1070,88847008 1069,42999072 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-22 1,1728 1,1712 920,5412 920,5412 1079,61071936 1078,13785344 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-23 1,1708 1,1692 921,7979 921,7979 1079,24098132 1077,76610468 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-24 1,1743 1,1727 907,6194 907,6194 1065,81746142 1064,36527038 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-25 1,1768 1,1752 906,711 906,711 1067,0175048 1065,5667672 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-26 1,1773 1,1757 909,8608 909,8608 1071,17911984 1069,72334256 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-29 1,1798 1,1782 904,1052 904,1052 1066,66331496 1065,21674664 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-30 1,1793 1,1777 912,0497 912,0497 1075,58021121 1074,12093169 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-08-31 1,1848 1,1832 917,1184 917,1184 1086,60188032 1085,13449088 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-01 1,1888 1,1872 923,2933 923,2933 1097,61107504 1096,13380576 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-02 1,1948 1,1932 920,4123 920,4123 1099,70861604 1098,23595636 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-05 1,1903 1,1887 920,3098 920,3098 1095,44475494 1093,97225926 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-06 1,1898 1,1882 927,9432 927,9432 1104,06681936 1102,58211024 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-07 1,1938 1,1922 929,1341 929,1341 1109,20028858 1107,71367402 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-08 1,1988 1,1972 931,3077 931,3077 1116,45167076 1114,96157844 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-09 1,2008 1,1992 933,8284 933,8284 1121,34114272 1119,84701728 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-12 1,1953 1,1937 942,0014 942,0014 1125,97427342 1124,46707118 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-13 1,1938 1,1922 937,2488 937,2488 1118,88761744 1117,38801936 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-14 1,1953 1,1937 930,785 930,785 1112,5673105 1111,0780545 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-15 1,2003 1,1987 939,0982 939,0982 1127,19956946 1125,69701234 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-16 1,2008 1,1992 945,6045 945,6045 1135,4818836 1133,9689164 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-19 1,1973 1,1957 957,3926 957,3926 1146,28615998 1144,75433182 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-20 1,2018 1,2002 960,0183 960,0183 1153,74999294 1152,21396366 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-21 1,1988 1,1972 964,0604 964,0604 1155,71560752 1154,17311088 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-22 1,2018 1,2002 958,7927 958,7927 1152,27706686 1150,74299854 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-23 1,2043 1,2027 955,783 955,783 1151,0494669 1149,5202141 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-26 1,1993 1,1977 959,0553 959,0553 1150,19502129 1148,66053281 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-27 1,2003 1,1987 963,3591 963,3591 1156,31992773 1154,77855317 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-28 1,2013 1,1997 974,5438 974,5438 1170,71946694 1169,16019686 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-29 1,2023 1,2007 978,7566 978,7566 1176,75906018 1175,19304962 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-09-30 1,1918 1,1902 983,8328 983,8328 1172,53193104 1170,95779856 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-03 1,1798 1,1782 984,2944 984,2944 1161,27053312 1159,69566208 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-04 1,1838 1,1822 985,0279 985,0279 1166,07602802 1164,49998338 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-05 1,1788 1,1772 975,5492 975,5492 1149,97739696 1148,41651824 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-06 1,1798 1,1782 941,1912 941,1912 1110,41737776 1108,91147184 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-07 1,1828 1,1812 936,8296 936,8296 1108,08205088 1106,58312352 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-10 1,1808 1,1792 941,7577 941,7577 1112,02749216 1110,52067984 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-11 1,1898 1,1882 951,618 951,618 1132,2350964 1130,7125076 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-12 1,1918 1,1902 947,293 947,293 1128,9837974 1127,4681286 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-13 1,2023 1,2007 910,7666 910,7666 1095,01468318 1093,55745662 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-14 1,2028 1,2012 901,8409 901,8409 1084,73423452 1083,29128908 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-17 1,2118 1,2102 903,697 903,697 1095,1000246 1093,6541094 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-18 1,2118 1,2102 895,839 895,839 1085,5777002 1084,1443578 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-19 1,2103 1,2087 855,2055 855,2055 1035,05521665 1033,68688785 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-20 1,2173 1,2157 872,5993 872,5993 1062,21512789 1060,81896901 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-21 1,2183 1,2167 867,9968 867,9968 1057,48050144 1056,09170656 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-24 1,2243 1,2227 885,5676 885,5676 1084,20041268 1082,78350452 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-25 1,2203 1,2187 906,9898 906,9898 1106,79965294 1105,34846926 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-26 1,2148 1,2132 916,9332 916,9332 1113,89045136 1112,42335824 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-27 1,2228 1,2212 907,45 907,45 1109,62986 1108,17794 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-28 1,2188 1,2172 900,1116 900,1116 1097,05601808 1095,61583952 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-10-31 1,2233 1,2217 916,3577 916,3577 1120,98037441 1119,51420209 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-01 1,2273 1,2257 917,4291 917,4291 1125,96073443 1124,49284787 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-02 1,2338 1,2322 922,3948 922,3948 1138,05070424 1136,57487256 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-03 1,2398 1,2382 930,1681 930,1681 1153,22241038 1151,73414142 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-04 1,2308 1,2292 943,0981 943,0981 1160,76514148 1159,25618452 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-07 1,2348 1,2332 946,9064 946,9064 1169,24002272 1167,72497248 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-08 1,2298 1,2282 944,3891 944,3891 1161,40971518 1159,89869262 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-09 1,2278 1,2262 943,0503 943,0503 1157,87715834 1156,36827786 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-10 1,2428 1,2412 935,8447 935,8447 1163,06779316 1161,57044164 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-11 1,2453 1,2437 933,274 933,274 1162,2061122 1160,7128738 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-14 1,2323 1,2307 939,0243 939,0243 1157,15964489 1155,65720601 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-15 1,2293 1,2277 938,4601 938,4601 1153,64900093 1152,14746477 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-16 1,2298 1,2282 932,5992 932,5992 1146,91049616 1145,41833744 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-17 1,2318 1,2302 941,3864 941,3864 1159,59976752 1158,09354928 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-18 1,2233 1,2217 946,8099 946,8099 1158,23255067 1156,71765483 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-21 1,2168 1,2152 948,5691 948,5691 1154,21888088 1152,70117032 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-22 1,2143 1,2127 951,9461 951,9461 1155,94814923 1154,42503547 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-23 1,2093 1,2077 954,2117 954,2117 1153,92820881 1152,40147009 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-24 1,2083 1,2067 963,6628 963,6628 1164,39376124 1162,85190076 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-25 1,2028 1,2012 970,0932 970,0932 1166,82810096 1165,27595184 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-28 1,2068 1,2052 972,3879 972,3879 1173,47771772 1171,92189708 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-29 1,1968 1,1952 972,3725 972,3725 1163,735408 1162,179612 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-11-30 1,1983 1,1967 976,5207 976,5207 1170,16475481 1168,60232169 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-01 1,1963 1,1947 986,2063 986,2063 1179,79859669 1178,22066661 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-02 1,1993 1,1977 987,8907 987,8907 1184,77731651 1183,19669139 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-05 1,1908 1,1892 999,2964 999,2964 1189,96215312 1188,36327888 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-06 1,1948 1,1932 1000,8832 1000,8832 1195,85524736 1194,25383424 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-07 1,1833 1,1817 1006,9803 1006,9803 1191,55978899 1189,94862051 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-08 1,1848 1,1832 1007,2558 1007,2558 1193,39667184 1191,78506256 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-12 1,1888 1,1872 1017,5467 1017,5467 1209,65951696 1208,03144224 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-13 1,1853 1,1837 1024,6381 1024,6381 1214,50353993 1212,86411897 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-14 1,1888 1,1872 1020,4886 1020,4886 1213,15684768 1211,52406592 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-15 1,1868 1,1852 1017,3892 1017,3892 1207,43750256 1205,80967984 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-16 1,1943 1,1927 1014,0025 1014,0025 1211,02318575 1209,40078175 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-19 1,1818 1,1802 1013,8401 1013,8401 1198,15623018 1196,53408602 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-20 1,1728 1,1712 1022,1372 1022,1372 1198,76250816 1197,12708864 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-21 1,1728 1,1712 1028,9441 1028,9441 1206,74564048 1205,09932992 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-22 1,1778 1,1762 1033,1085 1033,1085 1216,7951913 1215,1422177 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-23 1,1738 1,1722 1036,349 1036,349 1216,4664562 1214,8082978 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-27 1,1833 1,1817 1038,7661 1038,7661 1229,17192613 1227,50990037 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-28 1,1763 1,1747 1039,1025 1039,1025 1222,29627075 1220,63370675 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-29 1,1718 1,1702 1043,208 1043,208 1222,4311344 1220,7620016 120014 Skagen Fondene/Stavanger Fondsforvaltning AS SKAGEN Vekst NOK 2005-12-30 1,1768 1,1752 1044,4701 1044,4701 1229,13241368 1227,46126152 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-03 1 1 148,79 148,79 148,79 148,79 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-04 1 1 149,04 149,04 149,04 149,04 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-05 1 1 148,66 148,66 148,66 148,66 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-07 1 1 148,97 148,97 148,97 148,97 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-10 1 1 149,37 149,37 149,37 149,37 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-11 1 1 149,15 149,15 149,15 149,15 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-12 1 1 148,68 148,68 148,68 148,68 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-13 1 1 148,8 148,8 148,8 148,8 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-14 1 1 149,02 149,02 149,02 149,02 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-17 1 1 149,37 149,37 149,37 149,37 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-18 1 1 149,11 149,11 149,11 149,11 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-19 1 1 149,46 149,46 149,46 149,46 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-20 1 1 149,02 149,02 149,02 149,02 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-21 1 1 149,08 149,08 149,08 149,08 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-24 1 1 148,87 148,87 148,87 148,87 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-25 1 1 149,19 149,19 149,19 149,19 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-26 1 1 149,18 149,18 149,18 149,18 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-27 1 1 149,24 149,24 149,24 149,24 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-28 1 1 149,38 149,38 149,38 149,38 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-01-31 1 1 149,65 149,65 149,65 149,65 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-01 1 1 149,74 149,74 149,74 149,74 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-02 1 1 149,91 149,91 149,91 149,91 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-03 1 1 149,93 149,93 149,93 149,93 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-04 1 1 150,27 150,27 150,27 150,27 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-07 1 1 150,69 150,69 150,69 150,69 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-08 1 1 150,79 150,79 150,79 150,79 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-09 1 1 150,91 150,91 150,91 150,91 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-10 1 1 150,71 150,71 150,71 150,71 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-11 1 1 150,85 150,85 150,85 150,85 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-14 1 1 150,93 150,93 150,93 150,93 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-15 1 1 150,87 150,87 150,87 150,87 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-16 1 1 150,7 150,7 150,7 150,7 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-17 1 1 150,89 150,89 150,89 150,89 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-18 1 1 150,42 150,42 150,42 150,42 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-21 1 1 150,46 150,46 150,46 150,46 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-22 1 1 149,96 149,96 149,96 149,96 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-23 1 1 150,09 150,09 150,09 150,09 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-24 1 1 149,99 149,99 149,99 149,99 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-25 1 1 150,27 150,27 150,27 150,27 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-02-28 1 1 150,47 150,47 150,47 150,47 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-01 1 1 150,43 150,43 150,43 150,43 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-02 1 1 150,44 150,44 150,44 150,44 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-03 1 1 150,74 150,74 150,74 150,74 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-04 1 1 150,85 150,85 150,85 150,85 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-07 1 1 151,06 151,06 151,06 151,06 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-08 1 1 150,91 150,91 150,91 150,91 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-09 1 1 150,66 150,66 150,66 150,66 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-10 1 1 150,41 150,41 150,41 150,41 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-11 1 1 150,36 150,36 150,36 150,36 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-14 1 1 150,34 150,34 150,34 150,34 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-15 1 1 150,81 150,81 150,81 150,81 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-16 1 1 150,34 150,34 150,34 150,34 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-17 1 1 150,29 150,29 150,29 150,29 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-18 1 1 150,45 150,45 150,45 150,45 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-21 1 1 150,44 150,44 150,44 150,44 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-22 1 1 150,55 150,55 150,55 150,55 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-23 1 1 150,37 150,37 150,37 150,37 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-24 1 1 150,62 150,62 150,62 150,62 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-29 1 1 150,75 150,75 150,75 150,75 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-30 1 1 150,58 150,58 150,58 150,58 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-03-31 1 1 151,02 151,02 151,02 151,02 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-01 1 1 151,24 151,24 151,24 151,24 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-04 1 1 151,28 151,28 151,28 151,28 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-05 1 1 151,62 151,62 151,62 151,62 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-06 1 1 151,77 151,77 151,77 151,77 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-07 1 1 151,84 151,84 151,84 151,84 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-08 1 1 152,08 152,08 152,08 152,08 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-11 1 1 152,01 152,01 152,01 152,01 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-12 1 1 151,91 151,91 151,91 151,91 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-13 1 1 152,29 152,29 152,29 152,29 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-14 1 1 152,49 152,49 152,49 152,49 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-15 1 1 152,12 152,12 152,12 152,12 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-18 1 1 151,38 151,38 151,38 151,38 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-19 1 1 151,7 151,7 151,7 151,7 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-20 1 1 151,63 151,63 151,63 151,63 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-21 1 1 151,63 151,63 151,63 151,63 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-22 1 1 152,02 152,02 152,02 152,02 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-25 1 1 152,12 152,12 152,12 152,12 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-26 1 1 151,96 151,96 151,96 151,96 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-27 1 1 151,48 151,48 151,48 151,48 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-28 1 1 151,35 151,35 151,35 151,35 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-04-29 1 1 151,59 151,59 151,59 151,59 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-02 1 1 152,03 152,03 152,03 152,03 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-03 1 1 152,06 152,06 152,06 152,06 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-04 1 1 151,8 151,8 151,8 151,8 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-06 1 1 152,2 152,2 152,2 152,2 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-09 1 1 152,29 152,29 152,29 152,29 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-10 1 1 152,32 152,32 152,32 152,32 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-11 1 1 152,47 152,47 152,47 152,47 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-12 1 1 152,66 152,66 152,66 152,66 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-13 1 1 152,83 152,83 152,83 152,83 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-16 1 1 152,88 152,88 152,88 152,88 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-17 1 1 153,02 153,02 153,02 153,02 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-18 1 1 153,52 153,52 153,52 153,52 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-19 1 1 153,7 153,7 153,7 153,7 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-20 1 1 153,56 153,56 153,56 153,56 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-23 1 1 153,6 153,6 153,6 153,6 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-24 1 1 153,71 153,71 153,71 153,71 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-25 1 1 153,83 153,83 153,83 153,83 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-26 1 1 153,93 153,93 153,93 153,93 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-27 1 1 154,06 154,06 154,06 154,06 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-30 1 1 154,1 154,1 154,1 154,1 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-05-31 1 1 154,43 154,43 154,43 154,43 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-01 1 1 154,58 154,58 154,58 154,58 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-02 1 1 154,73 154,73 154,73 154,73 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-03 1 1 154,82 154,82 154,82 154,82 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-07 1 1 154,92 154,92 154,92 154,92 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-08 1 1 155,42 155,42 155,42 155,42 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-09 1 1 155,38 155,38 155,38 155,38 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-10 1 1 155,76 155,76 155,76 155,76 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-13 1 1 155,88 155,88 155,88 155,88 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-14 1 1 155,98 155,98 155,98 155,98 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-15 1 1 155,88 155,88 155,88 155,88 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-16 1 1 155,81 155,81 155,81 155,81 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-17 1 1 156,06 156,06 156,06 156,06 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-20 1 1 155,97 155,97 155,97 155,97 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-21 1 1 156,65 156,65 156,65 156,65 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-22 1 1 157,17 157,17 157,17 157,17 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-23 1 1 157,46 157,46 157,46 157,46 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-27 1 1 156,79 156,79 156,79 156,79 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-28 1 1 156,92 156,92 156,92 156,92 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-29 1 1 157,46 157,46 157,46 157,46 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-06-30 1 1 157,49 157,49 157,49 157,49 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-01 1 1 157,64 157,64 157,64 157,64 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-04 1 1 157,84 157,84 157,84 157,84 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-05 1 1 157,57 157,57 157,57 157,57 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-06 1 1 157,71 157,71 157,71 157,71 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-07 1 1 157,16 157,16 157,16 157,16 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-08 1 1 157,78 157,78 157,78 157,78 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-11 1 1 158,21 158,21 158,21 158,21 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-12 1 1 158,09 158,09 158,09 158,09 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-13 1 1 158,16 158,16 158,16 158,16 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-14 1 1 158,44 158,44 158,44 158,44 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-15 1 1 158,23 158,23 158,23 158,23 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-18 1 1 158,24 158,24 158,24 158,24 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-19 1 1 158,4 158,4 158,4 158,4 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-20 1 1 158,24 158,24 158,24 158,24 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-21 1 1 158,62 158,62 158,62 158,62 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-22 1 1 158,65 158,65 158,65 158,65 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-25 1 1 158,71 158,71 158,71 158,71 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-26 1 1 158,93 158,93 158,93 158,93 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-27 1 1 159,09 159,09 159,09 159,09 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-28 1 1 159,15 159,15 159,15 159,15 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-07-29 1 1 159,14 159,14 159,14 159,14 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-01 1 1 158,72 158,72 158,72 158,72 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-02 1 1 158,7 158,7 158,7 158,7 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-03 1 1 158,64 158,64 158,64 158,64 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-04 1 1 158,46 158,46 158,46 158,46 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-05 1 1 158,19 158,19 158,19 158,19 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-08 1 1 158,19 158,19 158,19 158,19 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-09 1 1 158,34 158,34 158,34 158,34 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-10 1 1 158,88 158,88 158,88 158,88 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-11 1 1 158,71 158,71 158,71 158,71 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-12 1 1 158,75 158,75 158,75 158,75 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-15 1 1 158,81 158,81 158,81 158,81 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-16 1 1 159,03 159,03 159,03 159,03 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-17 1 1 158,64 158,64 158,64 158,64 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-18 1 1 158,75 158,75 158,75 158,75 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-19 1 1 159,1 159,1 159,1 159,1 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-22 1 1 159,24 159,24 159,24 159,24 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-23 1 1 159,05 159,05 159,05 159,05 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-24 1 1 158,46 158,46 158,46 158,46 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-25 1 1 158,26 158,26 158,26 158,26 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-26 1 1 158,07 158,07 158,07 158,07 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-29 1 1 157,99 157,99 157,99 157,99 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-30 1 1 158,18 158,18 158,18 158,18 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-08-31 1 1 158,4 158,4 158,4 158,4 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-01 1 1 158,65 158,65 158,65 158,65 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-02 1 1 158,5 158,5 158,5 158,5 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-05 1 1 158,72 158,72 158,72 158,72 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-06 1 1 158,82 158,82 158,82 158,82 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-07 1 1 159,04 159,04 159,04 159,04 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-08 1 1 159,11 159,11 159,11 159,11 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-09 1 1 159,37 159,37 159,37 159,37 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-12 1 1 159,35 159,35 159,35 159,35 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-13 1 1 159,38 159,38 159,38 159,38 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-14 1 1 159,45 159,45 159,45 159,45 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-15 1 1 159,37 159,37 159,37 159,37 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-16 1 1 159,4 159,4 159,4 159,4 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-19 1 1 159,57 159,57 159,57 159,57 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-20 1 1 159,63 159,63 159,63 159,63 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-21 1 1 159,46 159,46 159,46 159,46 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-22 1 1 159,39 159,39 159,39 159,39 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-23 1 1 159,44 159,44 159,44 159,44 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-26 1 1 159,72 159,72 159,72 159,72 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-27 1 1 159,89 159,89 159,89 159,89 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-28 1 1 159,98 159,98 159,98 159,98 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-29 1 1 159,87 159,87 159,87 159,87 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-09-30 1 1 160 160 160 160 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-03 1 1 160,14 160,14 160,14 160,14 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-04 1 1 160,18 160,18 160,18 160,18 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-05 1 1 159,92 159,92 159,92 159,92 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-06 1 1 159,22 159,22 159,22 159,22 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-07 1 1 159,27 159,27 159,27 159,27 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-10 1 1 159,4 159,4 159,4 159,4 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-11 1 1 159,48 159,48 159,48 159,48 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-12 1 1 159,21 159,21 159,21 159,21 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-13 1 1 158,82 158,82 158,82 158,82 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-14 1 1 158,89 158,89 158,89 158,89 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-17 1 1 158,99 158,99 158,99 158,99 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-18 1 1 158,91 158,91 158,91 158,91 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-19 1 1 158,55 158,55 158,55 158,55 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-20 1 1 158,78 158,78 158,78 158,78 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-21 1 1 158,54 158,54 158,54 158,54 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-24 1 1 158,99 158,99 158,99 158,99 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-25 1 1 159,01 159,01 159,01 159,01 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-26 1 1 158,82 158,82 158,82 158,82 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-27 1 1 158,58 158,58 158,58 158,58 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-28 1 1 158,41 158,41 158,41 158,41 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-10-31 1 1 159,14 159,14 159,14 159,14 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-01 1 1 159,34 159,34 159,34 159,34 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-02 1 1 159,23 159,23 159,23 159,23 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-03 1 1 159,81 159,81 159,81 159,81 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-04 1 1 159,64 159,64 159,64 159,64 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-07 1 1 159,85 159,85 159,85 159,85 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-08 1 1 159,75 159,75 159,75 159,75 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-09 1 1 159,74 159,74 159,74 159,74 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-10 1 1 159,94 159,94 159,94 159,94 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-11 1 1 160,2 160,2 160,2 160,2 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-14 1 1 160,38 160,38 160,38 160,38 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-15 1 1 160,14 160,14 160,14 160,14 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-16 1 1 160,32 160,32 160,32 160,32 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-17 1 1 160,47 160,47 160,47 160,47 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-18 1 1 160,43 160,43 160,43 160,43 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-21 1 1 156,34 156,34 156,34 156,34 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-22 1 1 156,64 156,64 156,64 156,64 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-23 1 1 156,56 156,56 156,56 156,56 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-24 1 1 156,74 156,74 156,74 156,74 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-25 1 1 156,73 156,73 156,73 156,73 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-28 1 1 156,78 156,78 156,78 156,78 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-29 1 1 156,8 156,8 156,8 156,8 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-11-30 1 1 156,52 156,52 156,52 156,52 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-01 1 1 156,96 156,96 156,96 156,96 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-02 1 1 157,03 157,03 157,03 157,03 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-05 1 1 156,85 156,85 156,85 156,85 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-06 1 1 156,83 156,83 156,83 156,83 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-07 1 1 156,99 156,99 156,99 156,99 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-08 1 1 156,87 156,87 156,87 156,87 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-12 1 1 156,97 156,97 156,97 156,97 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-13 1 1 157,01 157,01 157,01 157,01 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-14 1 1 157 157 157 157 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-15 1 1 157,06 157,06 157,06 157,06 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-16 1 1 157,21 157,21 157,21 157,21 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-19 1 1 157,35 157,35 157,35 157,35 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-20 1 1 157,25 157,25 157,25 157,25 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-21 1 1 157,53 157,53 157,53 157,53 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-22 1 1 157,6 157,6 157,6 157,6 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-23 1 1 157,84 157,84 157,84 157,84 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-27 1 1 158,14 158,14 158,14 158,14 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-28 1 1 157,83 157,83 157,83 157,83 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-29 1 1 158,03 158,03 158,03 158,03 403642 Skandia Fonder AB Skandia Allt i Ett Försiktig SEK 2005-12-30 1 1 157,87 157,87 157,87 157,87 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-03 1 1 190,21 190,21 190,21 190,21 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-04 1 1 191,04 191,04 191,04 191,04 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-05 1 1 189,91 189,91 189,91 189,91 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-07 1 1 190,18 190,18 190,18 190,18 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-10 1 1 191,86 191,86 191,86 191,86 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-11 1 1 190,64 190,64 190,64 190,64 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-12 1 1 188,4 188,4 188,4 188,4 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-13 1 1 188,45 188,45 188,45 188,45 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-14 1 1 189,48 189,48 189,48 189,48 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-17 1 1 190,84 190,84 190,84 190,84 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-18 1 1 189,88 189,88 189,88 189,88 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-19 1 1 191,13 191,13 191,13 191,13 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-20 1 1 189,44 189,44 189,44 189,44 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-21 1 1 189,44 189,44 189,44 189,44 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-24 1 1 187,71 187,71 187,71 187,71 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-25 1 1 189,27 189,27 189,27 189,27 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-26 1 1 189,7 189,7 189,7 189,7 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-27 1 1 190,08 190,08 190,08 190,08 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-28 1 1 190,19 190,19 190,19 190,19 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-01-31 1 1 191,48 191,48 191,48 191,48 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-01 1 1 191,61 191,61 191,61 191,61 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-02 1 1 192,53 192,53 192,53 192,53 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-03 1 1 192,87 192,87 192,87 192,87 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-04 1 1 193,99 193,99 193,99 193,99 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-07 1 1 195,93 195,93 195,93 195,93 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-08 1 1 196,53 196,53 196,53 196,53 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-09 1 1 196,75 196,75 196,75 196,75 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-10 1 1 195,26 195,26 195,26 195,26 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-11 1 1 196,05 196,05 196,05 196,05 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-14 1 1 196,7 196,7 196,7 196,7 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-15 1 1 196,47 196,47 196,47 196,47 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-16 1 1 195,41 195,41 195,41 195,41 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-17 1 1 196,86 196,86 196,86 196,86 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-18 1 1 195,4 195,4 195,4 195,4 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-21 1 1 196,02 196,02 196,02 196,02 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-22 1 1 193,63 193,63 193,63 193,63 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-23 1 1 193,74 193,74 193,74 193,74 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-24 1 1 193,62 193,62 193,62 193,62 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-25 1 1 195,22 195,22 195,22 195,22 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-02-28 1 1 195,86 195,86 195,86 195,86 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-01 1 1 195,92 195,92 195,92 195,92 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-02 1 1 196,44 196,44 196,44 196,44 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-03 1 1 197,53 197,53 197,53 197,53 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-04 1 1 197,49 197,49 197,49 197,49 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-07 1 1 198 198 198 198 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-08 1 1 196,98 196,98 196,98 196,98 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-09 1 1 196,26 196,26 196,26 196,26 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-10 1 1 194,93 194,93 194,93 194,93 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-11 1 1 195,25 195,25 195,25 195,25 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-14 1 1 195,18 195,18 195,18 195,18 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-15 1 1 197,06 197,06 197,06 197,06 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-16 1 1 194,73 194,73 194,73 194,73 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-17 1 1 194,17 194,17 194,17 194,17 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-18 1 1 195,26 195,26 195,26 195,26 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-21 1 1 195,37 195,37 195,37 195,37 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-22 1 1 195,67 195,67 195,67 195,67 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-23 1 1 194,74 194,74 194,74 194,74 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-24 1 1 195,77 195,77 195,77 195,77 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-29 1 1 196,23 196,23 196,23 196,23 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-30 1 1 195,1 195,1 195,1 195,1 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-03-31 1 1 196,8 196,8 196,8 196,8 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-01 1 1 197,27 197,27 197,27 197,27 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-04 1 1 197,38 197,38 197,38 197,38 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-05 1 1 199,12 199,12 199,12 199,12 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-06 1 1 199,82 199,82 199,82 199,82 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-07 1 1 199,92 199,92 199,92 199,92 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-08 1 1 201,61 201,61 201,61 201,61 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-11 1 1 200,89 200,89 200,89 200,89 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-12 1 1 200,09 200,09 200,09 200,09 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-13 1 1 201,61 201,61 201,61 201,61 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-14 1 1 202,25 202,25 202,25 202,25 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-15 1 1 199,48 199,48 199,48 199,48 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-18 1 1 195,46 195,46 195,46 195,46 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-19 1 1 197,11 197,11 197,11 197,11 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-20 1 1 196,85 196,85 196,85 196,85 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-21 1 1 196,64 196,64 196,64 196,64 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-22 1 1 197,88 197,88 197,88 197,88 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-25 1 1 198,08 198,08 198,08 198,08 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-26 1 1 196,87 196,87 196,87 196,87 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-27 1 1 194,03 194,03 194,03 194,03 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-28 1 1 192,93 192,93 192,93 192,93 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-04-29 1 1 194,15 194,15 194,15 194,15 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-02 1 1 196,03 196,03 196,03 196,03 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-03 1 1 196,01 196,01 196,01 196,01 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-04 1 1 195,55 195,55 195,55 195,55 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-06 1 1 198,51 198,51 198,51 198,51 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-09 1 1 198,56 198,56 198,56 198,56 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-10 1 1 197,51 197,51 197,51 197,51 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-11 1 1 197,78 197,78 197,78 197,78 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-12 1 1 199,08 199,08 199,08 199,08 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-13 1 1 199,09 199,09 199,09 199,09 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-16 1 1 199,16 199,16 199,16 199,16 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-17 1 1 199,88 199,88 199,88 199,88 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-18 1 1 201,66 201,66 201,66 201,66 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-19 1 1 202,73 202,73 202,73 202,73 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-20 1 1 202,72 202,72 202,72 202,72 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-23 1 1 202,86 202,86 202,86 202,86 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-24 1 1 202,85 202,85 202,85 202,85 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-25 1 1 203,17 203,17 203,17 203,17 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-26 1 1 204,24 204,24 204,24 204,24 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-27 1 1 204,69 204,69 204,69 204,69 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-30 1 1 205,36 205,36 205,36 205,36 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-05-31 1 1 206,29 206,29 206,29 206,29 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-01 1 1 206,53 206,53 206,53 206,53 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-02 1 1 206,8 206,8 206,8 206,8 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-03 1 1 206,22 206,22 206,22 206,22 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-07 1 1 206,57 206,57 206,57 206,57 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-08 1 1 207,91 207,91 207,91 207,91 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-09 1 1 207,79 207,79 207,79 207,79 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-10 1 1 209,59 209,59 209,59 209,59 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-13 1 1 210,47 210,47 210,47 210,47 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-14 1 1 211,6 211,6 211,6 211,6 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-15 1 1 211,73 211,73 211,73 211,73 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-16 1 1 212,11 212,11 212,11 212,11 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-17 1 1 212,71 212,71 212,71 212,71 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-20 1 1 212,11 212,11 212,11 212,11 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-21 1 1 213,9 213,9 213,9 213,9 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-22 1 1 215,39 215,39 215,39 215,39 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-23 1 1 217,11 217,11 217,11 217,11 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-27 1 1 213,02 213,02 213,02 213,02 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-28 1 1 214,07 214,07 214,07 214,07 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-29 1 1 216,65 216,65 216,65 216,65 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-06-30 1 1 216,78 216,78 216,78 216,78 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-01 1 1 217,25 217,25 217,25 217,25 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-04 1 1 218,96 218,96 218,96 218,96 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-05 1 1 218,22 218,22 218,22 218,22 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-06 1 1 218,71 218,71 218,71 218,71 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-07 1 1 215,14 215,14 215,14 215,14 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-08 1 1 218,31 218,31 218,31 218,31 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-11 1 1 221,23 221,23 221,23 221,23 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-12 1 1 220,88 220,88 220,88 220,88 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-13 1 1 221,38 221,38 221,38 221,38 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-14 1 1 222,96 222,96 222,96 222,96 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-15 1 1 222,43 222,43 222,43 222,43 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-18 1 1 221,9 221,9 221,9 221,9 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-19 1 1 222,9 222,9 222,9 222,9 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-20 1 1 221,97 221,97 221,97 221,97 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-21 1 1 223,69 223,69 223,69 223,69 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-22 1 1 223,53 223,53 223,53 223,53 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-25 1 1 223,41 223,41 223,41 223,41 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-26 1 1 224,71 224,71 224,71 224,71 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-27 1 1 225,02 225,02 225,02 225,02 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-28 1 1 225,71 225,71 225,71 225,71 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-07-29 1 1 225,82 225,82 225,82 225,82 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-01 1 1 224,83 224,83 224,83 224,83 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-02 1 1 225,41 225,41 225,41 225,41 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-03 1 1 225,42 225,42 225,42 225,42 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-04 1 1 224,04 224,04 224,04 224,04 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-05 1 1 223,27 223,27 223,27 223,27 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-08 1 1 223,26 223,26 223,26 223,26 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-09 1 1 223,88 223,88 223,88 223,88 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-10 1 1 226,34 226,34 226,34 226,34 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-11 1 1 225,3 225,3 225,3 225,3 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-12 1 1 225,38 225,38 225,38 225,38 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-15 1 1 225,37 225,37 225,37 225,37 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-16 1 1 226,35 226,35 226,35 226,35 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-17 1 1 224,41 224,41 224,41 224,41 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-18 1 1 224,9 224,9 224,9 224,9 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-19 1 1 226,64 226,64 226,64 226,64 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-22 1 1 227,24 227,24 227,24 227,24 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-23 1 1 225,6 225,6 225,6 225,6 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-24 1 1 222,75 222,75 222,75 222,75 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-25 1 1 221,44 221,44 221,44 221,44 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-26 1 1 220,28 220,28 220,28 220,28 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-29 1 1 219,81 219,81 219,81 219,81 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-30 1 1 221,16 221,16 221,16 221,16 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-08-31 1 1 222,21 222,21 222,21 222,21 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-01 1 1 222,99 222,99 222,99 222,99 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-02 1 1 221,53 221,53 221,53 221,53 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-05 1 1 222,65 222,65 222,65 222,65 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-06 1 1 223,81 223,81 223,81 223,81 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-07 1 1 225,33 225,33 225,33 225,33 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-08 1 1 225,17 225,17 225,17 225,17 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-09 1 1 226,36 226,36 226,36 226,36 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-12 1 1 227,48 227,48 227,48 227,48 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-13 1 1 227,55 227,55 227,55 227,55 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-14 1 1 228,13 228,13 228,13 228,13 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-15 1 1 228,01 228,01 228,01 228,01 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-16 1 1 228,46 228,46 228,46 228,46 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-19 1 1 229,42 229,42 229,42 229,42 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-20 1 1 229,06 229,06 229,06 229,06 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-21 1 1 227,06 227,06 227,06 227,06 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-22 1 1 226,62 226,62 226,62 226,62 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-23 1 1 227,66 227,66 227,66 227,66 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-26 1 1 230,46 230,46 230,46 230,46 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-27 1 1 231,44 231,44 231,44 231,44 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-28 1 1 232,56 232,56 232,56 232,56 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-29 1 1 232,6 232,6 232,6 232,6 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-09-30 1 1 233,43 233,43 233,43 233,43 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-03 1 1 235,09 235,09 235,09 235,09 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-04 1 1 235,53 235,53 235,53 235,53 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-05 1 1 233,44 233,44 233,44 233,44 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-06 1 1 229,15 229,15 229,15 229,15 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-07 1 1 229,56 229,56 229,56 229,56 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-10 1 1 230,6 230,6 230,6 230,6 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-11 1 1 231 231 231 231 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-12 1 1 229,75 229,75 229,75 229,75 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-13 1 1 227,45 227,45 227,45 227,45 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-14 1 1 227,59 227,59 227,59 227,59 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-17 1 1 228,33 228,33 228,33 228,33 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-18 1 1 227,68 227,68 227,68 227,68 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-19 1 1 224,61 224,61 224,61 224,61 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-20 1 1 226,68 226,68 226,68 226,68 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-21 1 1 224,09 224,09 224,09 224,09 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-24 1 1 226,88 226,88 226,88 226,88 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-25 1 1 227,91 227,91 227,91 227,91 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-26 1 1 228,02 228,02 228,02 228,02 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-27 1 1 226,12 226,12 226,12 226,12 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-28 1 1 225,15 225,15 225,15 225,15 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-10-31 1 1 230,47 230,47 230,47 230,47 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-01 1 1 231,79 231,79 231,79 231,79 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-02 1 1 232,18 232,18 232,18 232,18 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-03 1 1 236,13 236,13 236,13 236,13 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-04 1 1 236,15 236,15 236,15 236,15 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-07 1 1 237,8 237,8 237,8 237,8 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-08 1 1 236,78 236,78 236,78 236,78 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-09 1 1 237,17 237,17 237,17 237,17 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-10 1 1 238,41 238,41 238,41 238,41 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-11 1 1 239,61 239,61 239,61 239,61 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-14 1 1 240,29 240,29 240,29 240,29 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-15 1 1 239,38 239,38 239,38 239,38 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-16 1 1 239,5 239,5 239,5 239,5 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-17 1 1 240,76 240,76 240,76 240,76 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-18 1 1 241,67 241,67 241,67 241,67 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-21 1 1 237,94 237,94 237,94 237,94 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-22 1 1 239,45 239,45 239,45 239,45 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-23 1 1 238,64 238,64 238,64 238,64 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-24 1 1 238,65 238,65 238,65 238,65 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-25 1 1 239,24 239,24 239,24 239,24 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-28 1 1 239,49 239,49 239,49 239,49 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-29 1 1 239,38 239,38 239,38 239,38 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-11-30 1 1 238,31 238,31 238,31 238,31 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-01 1 1 240,56 240,56 240,56 240,56 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-02 1 1 242,15 242,15 242,15 242,15 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-05 1 1 241,61 241,61 241,61 241,61 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-06 1 1 241,69 241,69 241,69 241,69 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-07 1 1 242,25 242,25 242,25 242,25 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-08 1 1 241,88 241,88 241,88 241,88 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-12 1 1 242,68 242,68 242,68 242,68 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-13 1 1 242,43 242,43 242,43 242,43 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-14 1 1 241,73 241,73 241,73 241,73 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-15 1 1 241,68 241,68 241,68 241,68 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-16 1 1 242,65 242,65 242,65 242,65 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-19 1 1 243,06 243,06 243,06 243,06 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-20 1 1 242,62 242,62 242,62 242,62 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-21 1 1 245,04 245,04 245,04 245,04 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-22 1 1 245,79 245,79 245,79 245,79 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-23 1 1 247,23 247,23 247,23 247,23 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-27 1 1 248,52 248,52 248,52 248,52 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-28 1 1 246,51 246,51 246,51 246,51 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-29 1 1 247,92 247,92 247,92 247,92 367813 Skandia Fonder AB Skandia Allt i Ett Offensiv SEK 2005-12-30 1 1 246,64 246,64 246,64 246,64 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-03 1 1 308,27 308,27 308,27 308,27 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-04 1 1 309,83 309,83 309,83 309,83 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-05 1 1 308,35 308,35 308,35 308,35 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-07 1 1 309,9 309,9 309,9 309,9 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-10 1 1 311,02 311,02 311,02 311,02 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-11 1 1 308,67 308,67 308,67 308,67 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-12 1 1 307,18 307,18 307,18 307,18 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-13 1 1 306,87 306,87 306,87 306,87 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-14 1 1 308,57 308,57 308,57 308,57 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-17 1 1 309,92 309,92 309,92 309,92 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-18 1 1 308,92 308,92 308,92 308,92 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-19 1 1 310,96 310,96 310,96 310,96 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-20 1 1 308,65 308,65 308,65 308,65 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-21 1 1 309,86 309,86 309,86 309,86 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-24 1 1 308,78 308,78 308,78 308,78 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-25 1 1 311,49 311,49 311,49 311,49 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-26 1 1 313,01 313,01 313,01 313,01 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-27 1 1 312,53 312,53 312,53 312,53 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-28 1 1 313,35 313,35 313,35 313,35 654459 Skandia Fonder AB Skandia Europa SEK 2005-01-31 1 1 315,41 315,41 315,41 315,41 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-01 1 1 316,25 316,25 316,25 316,25 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-02 1 1 317,05 317,05 317,05 317,05 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-03 1 1 317,12 317,12 317,12 317,12 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-04 1 1 319,05 319,05 319,05 319,05 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-07 1 1 321,5 321,5 321,5 321,5 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-08 1 1 322,06 322,06 322,06 322,06 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-09 1 1 322 322 322 322 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-10 1 1 322,51 322,51 322,51 322,51 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-11 1 1 324,09 324,09 324,09 324,09 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-14 1 1 324,9 324,9 324,9 324,9 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-15 1 1 325,31 325,31 325,31 325,31 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-16 1 1 324,26 324,26 324,26 324,26 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-17 1 1 327,57 327,57 327,57 327,57 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-18 1 1 327,08 327,08 327,08 327,08 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-21 1 1 327,41 327,41 327,41 327,41 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-22 1 1 323,42 323,42 323,42 323,42 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-23 1 1 322,49 322,49 322,49 322,49 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-24 1 1 321,94 321,94 321,94 321,94 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-25 1 1 324,24 324,24 324,24 324,24 654459 Skandia Fonder AB Skandia Europa SEK 2005-02-28 1 1 324,56 324,56 324,56 324,56 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-01 1 1 324,75 324,75 324,75 324,75 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-02 1 1 325,03 325,03 325,03 325,03 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-03 1 1 326,12 326,12 326,12 326,12 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-04 1 1 326,7 326,7 326,7 326,7 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-07 1 1 326,8 326,8 326,8 326,8 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-08 1 1 326,02 326,02 326,02 326,02 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-09 1 1 324,65 324,65 324,65 324,65 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-10 1 1 322,76 322,76 322,76 322,76 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-11 1 1 323,23 323,23 323,23 323,23 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-14 1 1 322,94 322,94 322,94 322,94 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-15 1 1 326,47 326,47 326,47 326,47 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-16 1 1 323,04 323,04 323,04 323,04 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-17 1 1 321,68 321,68 321,68 321,68 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-18 1 1 323,39 323,39 323,39 323,39 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-21 1 1 324,72 324,72 324,72 324,72 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-22 1 1 323,94 323,94 323,94 323,94 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-23 1 1 322,13 322,13 322,13 322,13 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-24 1 1 323,51 323,51 323,51 323,51 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-29 1 1 325,1 325,1 325,1 325,1 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-30 1 1 324,95 324,95 324,95 324,95 654459 Skandia Fonder AB Skandia Europa SEK 2005-03-31 1 1 327,12 327,12 327,12 327,12 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-01 1 1 328,31 328,31 328,31 328,31 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-04 1 1 327,02 327,02 327,02 327,02 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-05 1 1 329,46 329,46 329,46 329,46 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-06 1 1 330,01 330,01 330,01 330,01 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-07 1 1 330,28 330,28 330,28 330,28 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-08 1 1 332,78 332,78 332,78 332,78 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-11 1 1 331,91 331,91 331,91 331,91 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-12 1 1 330,45 330,45 330,45 330,45 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-13 1 1 332,07 332,07 332,07 332,07 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-14 1 1 332,68 332,68 332,68 332,68 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-15 1 1 329,04 329,04 329,04 329,04 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-18 1 1 322,6 322,6 322,6 322,6 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-19 1 1 326,18 326,18 326,18 326,18 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-20 1 1 324,53 324,53 324,53 324,53 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-21 1 1 324,33 324,33 324,33 324,33 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-22 1 1 324,71 324,71 324,71 324,71 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-25 1 1 324,75 324,75 324,75 324,75 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-26 1 1 323,08 323,08 323,08 323,08 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-27 1 1 318,76 318,76 318,76 318,76 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-28 1 1 317,98 317,98 317,98 317,98 654459 Skandia Fonder AB Skandia Europa SEK 2005-04-29 1 1 320,49 320,49 320,49 320,49 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-02 1 1 322,19 322,19 322,19 322,19 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-03 1 1 323,42 323,42 323,42 323,42 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-04 1 1 321,95 321,95 321,95 321,95 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-06 1 1 326,17 326,17 326,17 326,17 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-09 1 1 325,6 325,6 325,6 325,6 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-10 1 1 324,27 324,27 324,27 324,27 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-11 1 1 325,26 325,26 325,26 325,26 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-12 1 1 326,33 326,33 326,33 326,33 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-13 1 1 324,36 324,36 324,36 324,36 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-16 1 1 324,77 324,77 324,77 324,77 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-17 1 1 325,18 325,18 325,18 325,18 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-18 1 1 328,14 328,14 328,14 328,14 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-19 1 1 330,53 330,53 330,53 330,53 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-20 1 1 329,95 329,95 329,95 329,95 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-23 1 1 330,89 330,89 330,89 330,89 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-24 1 1 330,84 330,84 330,84 330,84 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-25 1 1 331,68 331,68 331,68 331,68 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-26 1 1 334,16 334,16 334,16 334,16 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-27 1 1 334,33 334,33 334,33 334,33 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-30 1 1 335,16 335,16 335,16 335,16 654459 Skandia Fonder AB Skandia Europa SEK 2005-05-31 1 1 335,95 335,95 335,95 335,95 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-01 1 1 336,29 336,29 336,29 336,29 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-02 1 1 338,6 338,6 338,6 338,6 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-03 1 1 337,77 337,77 337,77 337,77 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-07 1 1 338,69 338,69 338,69 338,69 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-08 1 1 341,59 341,59 341,59 341,59 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-09 1 1 340,68 340,68 340,68 340,68 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-10 1 1 344,94 344,94 344,94 344,94 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-13 1 1 346,37 346,37 346,37 346,37 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-14 1 1 348,29 348,29 348,29 348,29 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-15 1 1 347,81 347,81 347,81 347,81 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-16 1 1 347,85 347,85 347,85 347,85 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-17 1 1 348,71 348,71 348,71 348,71 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-20 1 1 346,91 346,91 346,91 346,91 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-21 1 1 348,82 348,82 348,82 348,82 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-22 1 1 352,26 352,26 352,26 352,26 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-23 1 1 355,31 355,31 355,31 355,31 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-27 1 1 350,54 350,54 350,54 350,54 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-28 1 1 353,15 353,15 353,15 353,15 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-29 1 1 357,64 357,64 357,64 357,64 654459 Skandia Fonder AB Skandia Europa SEK 2005-06-30 1 1 357,78 357,78 357,78 357,78 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-01 1 1 359,22 359,22 359,22 359,22 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-04 1 1 361,22 361,22 361,22 361,22 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-05 1 1 358,76 358,76 358,76 358,76 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-06 1 1 360,49 360,49 360,49 360,49 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-07 1 1 353,86 353,86 353,86 353,86 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-08 1 1 360,42 360,42 360,42 360,42 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-11 1 1 364,38 364,38 364,38 364,38 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-12 1 1 362,42 362,42 362,42 362,42 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-13 1 1 361,48 361,48 361,48 361,48 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-14 1 1 365,74 365,74 365,74 365,74 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-15 1 1 363,93 363,93 363,93 363,93 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-18 1 1 362,42 362,42 362,42 362,42 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-19 1 1 365,24 365,24 365,24 365,24 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-20 1 1 364,1 364,1 364,1 364,1 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-21 1 1 366,64 366,64 366,64 366,64 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-22 1 1 365,24 365,24 365,24 365,24 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-25 1 1 364,91 364,91 364,91 364,91 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-26 1 1 367,24 367,24 367,24 367,24 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-27 1 1 368,35 368,35 368,35 368,35 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-28 1 1 368,38 368,38 368,38 368,38 654459 Skandia Fonder AB Skandia Europa SEK 2005-07-29 1 1 369,56 369,56 369,56 369,56 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-01 1 1 369,52 369,52 369,52 369,52 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-02 1 1 369,74 369,74 369,74 369,74 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-03 1 1 369,98 369,98 369,98 369,98 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-04 1 1 365,41 365,41 365,41 365,41 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-05 1 1 365,15 365,15 365,15 365,15 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-08 1 1 365,99 365,99 365,99 365,99 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-09 1 1 367,64 367,64 367,64 367,64 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-10 1 1 371,44 371,44 371,44 371,44 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-11 1 1 370,08 370,08 370,08 370,08 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-12 1 1 369,75 369,75 369,75 369,75 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-15 1 1 369,6 369,6 369,6 369,6 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-16 1 1 370,53 370,53 370,53 370,53 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-17 1 1 367,94 367,94 367,94 367,94 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-18 1 1 367,27 367,27 367,27 367,27 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-19 1 1 370,62 370,62 370,62 370,62 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-22 1 1 373,03 373,03 373,03 373,03 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-23 1 1 369,54 369,54 369,54 369,54 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-24 1 1 366,49 366,49 366,49 366,49 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-25 1 1 365,48 365,48 365,48 365,48 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-26 1 1 363,94 363,94 363,94 363,94 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-29 1 1 363,14 363,14 363,14 363,14 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-30 1 1 364,04 364,04 364,04 364,04 654459 Skandia Fonder AB Skandia Europa SEK 2005-08-31 1 1 365,79 365,79 365,79 365,79 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-01 1 1 369,2 369,2 369,2 369,2 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-02 1 1 366,7 366,7 366,7 366,7 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-05 1 1 369,36 369,36 369,36 369,36 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-06 1 1 371,92 371,92 371,92 371,92 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-07 1 1 374,45 374,45 374,45 374,45 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-08 1 1 374,39 374,39 374,39 374,39 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-09 1 1 375,48 375,48 375,48 375,48 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-12 1 1 374,75 374,75 374,75 374,75 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-13 1 1 374,45 374,45 374,45 374,45 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-14 1 1 375,86 375,86 375,86 375,86 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-15 1 1 376,21 376,21 376,21 376,21 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-16 1 1 378,4 378,4 378,4 378,4 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-19 1 1 378,82 378,82 378,82 378,82 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-20 1 1 378,97 378,97 378,97 378,97 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-21 1 1 376,07 376,07 376,07 376,07 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-22 1 1 373,83 373,83 373,83 373,83 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-23 1 1 375,77 375,77 375,77 375,77 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-26 1 1 380,08 380,08 380,08 380,08 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-27 1 1 381,45 381,45 381,45 381,45 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-28 1 1 383,1 383,1 383,1 383,1 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-29 1 1 382,45 382,45 382,45 382,45 654459 Skandia Fonder AB Skandia Europa SEK 2005-09-30 1 1 381,22 381,22 381,22 381,22 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-03 1 1 383,55 383,55 383,55 383,55 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-04 1 1 384,33 384,33 384,33 384,33 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-05 1 1 382,45 382,45 382,45 382,45 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-06 1 1 375,96 375,96 375,96 375,96 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-07 1 1 377,02 377,02 377,02 377,02 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-10 1 1 378,53 378,53 378,53 378,53 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-11 1 1 377,58 377,58 377,58 377,58 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-12 1 1 376,47 376,47 376,47 376,47 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-13 1 1 372,31 372,31 372,31 372,31 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-14 1 1 374,81 374,81 374,81 374,81 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-17 1 1 376,19 376,19 376,19 376,19 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-18 1 1 374,16 374,16 374,16 374,16 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-19 1 1 368,52 368,52 368,52 368,52 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-20 1 1 372,14 372,14 372,14 372,14 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-21 1 1 369,34 369,34 369,34 369,34 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-24 1 1 375,36 375,36 375,36 375,36 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-25 1 1 374,71 374,71 374,71 374,71 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-26 1 1 374,35 374,35 374,35 374,35 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-27 1 1 371,35 371,35 371,35 371,35 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-28 1 1 370,76 370,76 370,76 370,76 654459 Skandia Fonder AB Skandia Europa SEK 2005-10-31 1 1 378,96 378,96 378,96 378,96 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-01 1 1 382,64 382,64 382,64 382,64 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-02 1 1 383,97 383,97 383,97 383,97 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-03 1 1 391,18 391,18 391,18 391,18 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-04 1 1 390,26 390,26 390,26 390,26 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-07 1 1 391,94 391,94 391,94 391,94 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-08 1 1 389,01 389,01 389,01 389,01 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-09 1 1 390,35 390,35 390,35 390,35 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-10 1 1 393,4 393,4 393,4 393,4 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-11 1 1 392,94 392,94 392,94 392,94 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-14 1 1 393,77 393,77 393,77 393,77 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-15 1 1 393,75 393,75 393,75 393,75 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-16 1 1 391,61 391,61 391,61 391,61 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-17 1 1 395,34 395,34 395,34 395,34 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-18 1 1 395,68 395,68 395,68 395,68 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-21 1 1 387,85 387,85 387,85 387,85 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-22 1 1 389,59 389,59 389,59 389,59 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-23 1 1 389,17 389,17 389,17 389,17 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-24 1 1 388,62 388,62 388,62 388,62 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-25 1 1 388,66 388,66 388,66 388,66 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-28 1 1 387,76 387,76 387,76 387,76 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-29 1 1 389,16 389,16 389,16 389,16 654459 Skandia Fonder AB Skandia Europa SEK 2005-11-30 1 1 389,43 389,43 389,43 389,43 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-01 1 1 392,71 392,71 392,71 392,71 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-02 1 1 393,03 393,03 393,03 393,03 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-05 1 1 393,85 393,85 393,85 393,85 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-06 1 1 392,48 392,48 392,48 392,48 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-07 1 1 394,43 394,43 394,43 394,43 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-08 1 1 393,99 393,99 393,99 393,99 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-12 1 1 396,13 396,13 396,13 396,13 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-13 1 1 396,09 396,09 396,09 396,09 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-14 1 1 395,24 395,24 395,24 395,24 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-15 1 1 393,97 393,97 393,97 393,97 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-16 1 1 397,3 397,3 397,3 397,3 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-19 1 1 395,63 395,63 395,63 395,63 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-20 1 1 394,63 394,63 394,63 394,63 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-21 1 1 398,32 398,32 398,32 398,32 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-22 1 1 399,46 399,46 399,46 399,46 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-23 1 1 398,98 398,98 398,98 398,98 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-27 1 1 400,71 400,71 400,71 400,71 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-28 1 1 397,34 397,34 397,34 397,34 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-29 1 1 398,92 398,92 398,92 398,92 654459 Skandia Fonder AB Skandia Europa SEK 2005-12-30 1 1 396,43 396,43 396,43 396,43 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-03 1 1 156,62 156,62 156,62 156,62 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-04 1 1 157,13 157,13 157,13 157,13 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-05 1 1 156,46 156,46 156,46 156,46 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-07 1 1 154,65 154,65 154,65 154,65 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-10 1 1 156,13 156,13 156,13 156,13 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-11 1 1 156,07 156,07 156,07 156,07 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-12 1 1 155,09 155,09 155,09 155,09 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-13 1 1 156,36 156,36 156,36 156,36 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-14 1 1 157,98 157,98 157,98 157,98 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-17 1 1 160,7 160,7 160,7 160,7 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-18 1 1 160,98 160,98 160,98 160,98 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-19 1 1 160,59 160,59 160,59 160,59 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-20 1 1 160,52 160,52 160,52 160,52 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-21 1 1 160,24 160,24 160,24 160,24 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-24 1 1 159,07 159,07 159,07 159,07 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-25 1 1 160,29 160,29 160,29 160,29 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-26 1 1 161,49 161,49 161,49 161,49 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-27 1 1 161,3 161,3 161,3 161,3 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-28 1 1 161,48 161,48 161,48 161,48 618629 Skandia Fonder AB Skandia Far East SEK 2005-01-31 1 1 163,01 163,01 163,01 163,01 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-01 1 1 161,93 161,93 161,93 161,93 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-02 1 1 161,82 161,82 161,82 161,82 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-03 1 1 163,4 163,4 163,4 163,4 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-04 1 1 163,28 163,28 163,28 163,28 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-07 1 1 166,32 166,32 166,32 166,32 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-08 1 1 167,77 167,77 167,77 167,77 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-14 1 1 167,29 167,29 167,29 167,29 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-15 1 1 167,09 167,09 167,09 167,09 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-16 1 1 166,33 166,33 166,33 166,33 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-17 1 1 166 166 166 166 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-18 1 1 166,86 166,86 166,86 166,86 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-21 1 1 167,76 167,76 167,76 167,76 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-22 1 1 165,95 165,95 165,95 165,95 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-23 1 1 165,11 165,11 165,11 165,11 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-24 1 1 165,57 165,57 165,57 165,57 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-25 1 1 167,27 167,27 167,27 167,27 618629 Skandia Fonder AB Skandia Far East SEK 2005-02-28 1 1 167,28 167,28 167,28 167,28 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-01 1 1 168,27 168,27 168,27 168,27 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-02 1 1 167,98 167,98 167,98 167,98 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-03 1 1 167,49 167,49 167,49 167,49 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-04 1 1 165,11 165,11 165,11 165,11 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-07 1 1 165,82 165,82 165,82 165,82 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-08 1 1 164,36 164,36 164,36 164,36 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-09 1 1 164,97 164,97 164,97 164,97 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-10 1 1 163,25 163,25 163,25 163,25 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-11 1 1 163,96 163,96 163,96 163,96 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-14 1 1 163,88 163,88 163,88 163,88 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-15 1 1 162,36 162,36 162,36 162,36 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-16 1 1 161,98 161,98 161,98 161,98 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-17 1 1 162,3 162,3 162,3 162,3 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-18 1 1 163,45 163,45 163,45 163,45 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-21 1 1 164,37 164,37 164,37 164,37 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-22 1 1 163,48 163,48 163,48 163,48 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-23 1 1 163,41 163,41 163,41 163,41 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-24 1 1 162,78 162,78 162,78 162,78 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-29 1 1 162,62 162,62 162,62 162,62 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-30 1 1 161,33 161,33 161,33 161,33 618629 Skandia Fonder AB Skandia Far East SEK 2005-03-31 1 1 163,41 163,41 163,41 163,41 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-01 1 1 165,08 165,08 165,08 165,08 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-04 1 1 166,98 166,98 166,98 166,98 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-06 1 1 166,85 166,85 166,85 166,85 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-07 1 1 166,23 166,23 166,23 166,23 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-08 1 1 168,34 168,34 168,34 168,34 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-11 1 1 166,19 166,19 166,19 166,19 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-12 1 1 166,99 166,99 166,99 166,99 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-13 1 1 167,82 167,82 167,82 167,82 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-14 1 1 167,11 167,11 167,11 167,11 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-15 1 1 164,51 164,51 164,51 164,51 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-18 1 1 159,22 159,22 159,22 159,22 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-19 1 1 160,92 160,92 160,92 160,92 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-20 1 1 161,22 161,22 161,22 161,22 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-21 1 1 160,87 160,87 160,87 160,87 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-22 1 1 161,71 161,71 161,71 161,71 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-25 1 1 163,38 163,38 163,38 163,38 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-26 1 1 163,97 163,97 163,97 163,97 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-27 1 1 163,12 163,12 163,12 163,12 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-28 1 1 164,11 164,11 164,11 164,11 618629 Skandia Fonder AB Skandia Far East SEK 2005-04-29 1 1 163,78 163,78 163,78 163,78 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-02 1 1 165,05 165,05 165,05 165,05 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-03 1 1 165,5 165,5 165,5 165,5 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-04 1 1 165,29 165,29 165,29 165,29 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-06 1 1 169,68 169,68 169,68 169,68 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-09 1 1 170,11 170,11 170,11 170,11 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-10 1 1 169,47 169,47 169,47 169,47 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-11 1 1 169,47 169,47 169,47 169,47 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-12 1 1 170,34 170,34 170,34 170,34 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-13 1 1 170,97 170,97 170,97 170,97 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-16 1 1 170,83 170,83 170,83 170,83 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-17 1 1 170,07 170,07 170,07 170,07 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-18 1 1 170,77 170,77 170,77 170,77 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-19 1 1 172,6 172,6 172,6 172,6 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-20 1 1 173,3 173,3 173,3 173,3 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-23 1 1 171,97 171,97 171,97 171,97 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-24 1 1 172,04 172,04 172,04 172,04 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-25 1 1 170,22 170,22 170,22 170,22 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-26 1 1 171,56 171,56 171,56 171,56 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-27 1 1 173,37 173,37 173,37 173,37 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-30 1 1 175,33 175,33 175,33 175,33 618629 Skandia Fonder AB Skandia Far East SEK 2005-05-31 1 1 176,04 176,04 176,04 176,04 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-01 1 1 176,27 176,27 176,27 176,27 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-02 1 1 176,99 176,99 176,99 176,99 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-03 1 1 177,14 177,14 177,14 177,14 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-07 1 1 177,8 177,8 177,8 177,8 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-08 1 1 179,11 179,11 179,11 179,11 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-09 1 1 180,51 180,51 180,51 180,51 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-10 1 1 183,02 183,02 183,02 183,02 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-13 1 1 185,78 185,78 185,78 185,78 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-14 1 1 185,9 185,9 185,9 185,9 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-15 1 1 185,6 185,6 185,6 185,6 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-16 1 1 186,59 186,59 186,59 186,59 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-17 1 1 185,32 185,32 185,32 185,32 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-20 1 1 185,25 185,25 185,25 185,25 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-21 1 1 185,41 185,41 185,41 185,41 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-22 1 1 188,61 188,61 188,61 188,61 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-23 1 1 191,6 191,6 191,6 191,6 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-27 1 1 187,8 187,8 187,8 187,8 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-28 1 1 189,27 189,27 189,27 189,27 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-29 1 1 189,69 189,69 189,69 189,69 618629 Skandia Fonder AB Skandia Far East SEK 2005-06-30 1 1 189,4 189,4 189,4 189,4 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-01 1 1 190,95 190,95 190,95 190,95 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-04 1 1 193,04 193,04 193,04 193,04 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-05 1 1 190,87 190,87 190,87 190,87 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-06 1 1 190,44 190,44 190,44 190,44 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-07 1 1 190,7 190,7 190,7 190,7 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-08 1 1 189,07 189,07 189,07 189,07 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-11 1 1 193,03 193,03 193,03 193,03 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-12 1 1 191,17 191,17 191,17 191,17 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-13 1 1 191,82 191,82 191,82 191,82 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-14 1 1 194,57 194,57 194,57 194,57 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-15 1 1 194,15 194,15 194,15 194,15 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-18 1 1 193,77 193,77 193,77 193,77 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-19 1 1 197,49 197,49 197,49 197,49 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-20 1 1 196,74 196,74 196,74 196,74 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-21 1 1 197,58 197,58 197,58 197,58 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-22 1 1 198,4 198,4 198,4 198,4 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-25 1 1 199,63 199,63 199,63 199,63 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-26 1 1 200,71 200,71 200,71 200,71 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-27 1 1 199,8 199,8 199,8 199,8 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-28 1 1 199,83 199,83 199,83 199,83 618629 Skandia Fonder AB Skandia Far East SEK 2005-07-29 1 1 199,98 199,98 199,98 199,98 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-01 1 1 199,09 199,09 199,09 199,09 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-02 1 1 200,17 200,17 200,17 200,17 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-03 1 1 200,3 200,3 200,3 200,3 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-04 1 1 198,45 198,45 198,45 198,45 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-05 1 1 197,38 197,38 197,38 197,38 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-08 1 1 196,53 196,53 196,53 196,53 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-09 1 1 197,71 197,71 197,71 197,71 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-10 1 1 198,09 198,09 198,09 198,09 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-11 1 1 197,29 197,29 197,29 197,29 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-12 1 1 197,26 197,26 197,26 197,26 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-15 1 1 196,97 196,97 196,97 196,97 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-16 1 1 197,23 197,23 197,23 197,23 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-17 1 1 197,36 197,36 197,36 197,36 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-18 1 1 196,33 196,33 196,33 196,33 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-19 1 1 195,58 195,58 195,58 195,58 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-22 1 1 197,44 197,44 197,44 197,44 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-23 1 1 196,48 196,48 196,48 196,48 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-24 1 1 192,88 192,88 192,88 192,88 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-25 1 1 193,3 193,3 193,3 193,3 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-26 1 1 192,03 192,03 192,03 192,03 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-29 1 1 189,69 189,69 189,69 189,69 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-30 1 1 191,24 191,24 191,24 191,24 618629 Skandia Fonder AB Skandia Far East SEK 2005-08-31 1 1 191,26 191,26 191,26 191,26 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-01 1 1 190,84 190,84 190,84 190,84 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-02 1 1 190,13 190,13 190,13 190,13 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-05 1 1 190,31 190,31 190,31 190,31 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-06 1 1 191,42 191,42 191,42 191,42 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-07 1 1 193,19 193,19 193,19 193,19 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-08 1 1 193,62 193,62 193,62 193,62 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-09 1 1 194,1 194,1 194,1 194,1 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-12 1 1 196,87 196,87 196,87 196,87 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-13 1 1 197,3 197,3 197,3 197,3 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-14 1 1 197,15 197,15 197,15 197,15 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-15 1 1 198,32 198,32 198,32 198,32 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-16 1 1 197,41 197,41 197,41 197,41 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-20 1 1 200,79 200,79 200,79 200,79 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-21 1 1 199,75 199,75 199,75 199,75 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-22 1 1 198,33 198,33 198,33 198,33 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-23 1 1 198 198 198 198 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-26 1 1 200,47 200,47 200,47 200,47 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-27 1 1 201,39 201,39 201,39 201,39 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-28 1 1 202,48 202,48 202,48 202,48 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-29 1 1 204,37 204,37 204,37 204,37 618629 Skandia Fonder AB Skandia Far East SEK 2005-09-30 1 1 203,73 203,73 203,73 203,73 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-03 1 1 204,98 204,98 204,98 204,98 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-04 1 1 206,42 206,42 206,42 206,42 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-05 1 1 204,87 204,87 204,87 204,87 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-06 1 1 197,63 197,63 197,63 197,63 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-07 1 1 197,76 197,76 197,76 197,76 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-10 1 1 200,44 200,44 200,44 200,44 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-11 1 1 201,38 201,38 201,38 201,38 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-12 1 1 197,1 197,1 197,1 197,1 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-13 1 1 196,95 196,95 196,95 196,95 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-14 1 1 196,31 196,31 196,31 196,31 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-17 1 1 194,18 194,18 194,18 194,18 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-18 1 1 196,85 196,85 196,85 196,85 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-19 1 1 191,26 191,26 191,26 191,26 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-20 1 1 192,1 192,1 192,1 192,1 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-21 1 1 192,23 192,23 192,23 192,23 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-24 1 1 193,21 193,21 193,21 193,21 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-25 1 1 190,82 190,82 190,82 190,82 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-26 1 1 190,97 190,97 190,97 190,97 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-27 1 1 188,68 188,68 188,68 188,68 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-28 1 1 186,91 186,91 186,91 186,91 618629 Skandia Fonder AB Skandia Far East SEK 2005-10-31 1 1 192,66 192,66 192,66 192,66 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-01 1 1 197,84 197,84 197,84 197,84 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-02 1 1 199,69 199,69 199,69 199,69 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-03 1 1 200,69 200,69 200,69 200,69 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-04 1 1 201,76 201,76 201,76 201,76 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-07 1 1 203,32 203,32 203,32 203,32 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-08 1 1 203,37 203,37 203,37 203,37 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-09 1 1 206,1 206,1 206,1 206,1 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-10 1 1 206,78 206,78 206,78 206,78 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-11 1 1 208,53 208,53 208,53 208,53 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-14 1 1 208,7 208,7 208,7 208,7 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-15 1 1 209,78 209,78 209,78 209,78 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-16 1 1 210,77 210,77 210,77 210,77 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-17 1 1 209,88 209,88 209,88 209,88 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-18 1 1 210,36 210,36 210,36 210,36 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-21 1 1 205,78 205,78 205,78 205,78 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-22 1 1 205,27 205,27 205,27 205,27 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-23 1 1 206,5 206,5 206,5 206,5 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-24 1 1 206,95 206,95 206,95 206,95 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-25 1 1 206,3 206,3 206,3 206,3 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-28 1 1 207,49 207,49 207,49 207,49 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-29 1 1 205,89 205,89 205,89 205,89 618629 Skandia Fonder AB Skandia Far East SEK 2005-11-30 1 1 209,09 209,09 209,09 209,09 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-01 1 1 210,2 210,2 210,2 210,2 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-02 1 1 211,61 211,61 211,61 211,61 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-05 1 1 211,72 211,72 211,72 211,72 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-06 1 1 211,53 211,53 211,53 211,53 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-07 1 1 214,26 214,26 214,26 214,26 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-08 1 1 212,51 212,51 212,51 212,51 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-12 1 1 210,82 210,82 210,82 210,82 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-13 1 1 212,01 212,01 212,01 212,01 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-14 1 1 210,24 210,24 210,24 210,24 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-15 1 1 210,23 210,23 210,23 210,23 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-16 1 1 209,34 209,34 209,34 209,34 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-19 1 1 211,32 211,32 211,32 211,32 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-20 1 1 212,09 212,09 212,09 212,09 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-21 1 1 216,17 216,17 216,17 216,17 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-22 1 1 215,4 215,4 215,4 215,4 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-23 1 1 217,88 217,88 217,88 217,88 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-27 1 1 219,47 219,47 219,47 219,47 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-28 1 1 215,85 215,85 215,85 215,85 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-29 1 1 219,09 219,09 219,09 219,09 618629 Skandia Fonder AB Skandia Far East SEK 2005-12-30 1 1 218,73 218,73 218,73 218,73 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-04 1 1 112,1 112,1 112,1 112,1 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-05 1 1 111,79 111,79 111,79 111,79 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-07 1 1 112,95 112,95 112,95 112,95 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-11 1 1 114,67 114,67 114,67 114,67 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-12 1 1 114,79 114,79 114,79 114,79 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-13 1 1 114,15 114,15 114,15 114,15 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-14 1 1 115,7 115,7 115,7 115,7 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-17 1 1 116,69 116,69 116,69 116,69 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-18 1 1 116,11 116,11 116,11 116,11 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-19 1 1 115,88 115,88 115,88 115,88 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-20 1 1 114,82 114,82 114,82 114,82 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-21 1 1 114,22 114,22 114,22 114,22 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-24 1 1 114,98 114,98 114,98 114,98 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-25 1 1 114,47 114,47 114,47 114,47 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-26 1 1 115,62 115,62 115,62 115,62 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-27 1 1 115,17 115,17 115,17 115,17 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-28 1 1 115,22 115,22 115,22 115,22 582791 Skandia Fonder AB Skandia Japan SEK 2005-01-31 1 1 115,99 115,99 115,99 115,99 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-01 1 1 115,83 115,83 115,83 115,83 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-02 1 1 116,18 116,18 116,18 116,18 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-03 1 1 115,72 115,72 115,72 115,72 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-04 1 1 116,2 116,2 116,2 116,2 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-07 1 1 117,02 117,02 117,02 117,02 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-08 1 1 116,67 116,67 116,67 116,67 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-09 1 1 116,32 116,32 116,32 116,32 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-10 1 1 116,41 116,41 116,41 116,41 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-14 1 1 117,25 117,25 117,25 117,25 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-15 1 1 116,85 116,85 116,85 116,85 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-16 1 1 115,88 115,88 115,88 115,88 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-17 1 1 115,07 115,07 115,07 115,07 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-18 1 1 115,54 115,54 115,54 115,54 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-21 1 1 115,86 115,86 115,86 115,86 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-22 1 1 115,53 115,53 115,53 115,53 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-23 1 1 113,79 113,79 113,79 113,79 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-24 1 1 113,19 113,19 113,19 113,19 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-25 1 1 114,55 114,55 114,55 114,55 582791 Skandia Fonder AB Skandia Japan SEK 2005-02-28 1 1 115,91 115,91 115,91 115,91 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-01 1 1 116,41 116,41 116,41 116,41 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-02 1 1 117,27 117,27 117,27 117,27 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-03 1 1 116,98 116,98 116,98 116,98 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-04 1 1 116,64 116,64 116,64 116,64 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-07 1 1 116,49 116,49 116,49 116,49 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-08 1 1 116,11 116,11 116,11 116,11 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-09 1 1 117,15 117,15 117,15 117,15 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-10 1 1 116,15 116,15 116,15 116,15 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-11 1 1 116,57 116,57 116,57 116,57 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-14 1 1 115,79 115,79 115,79 115,79 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-15 1 1 116,46 116,46 116,46 116,46 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-16 1 1 116,27 116,27 116,27 116,27 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-17 1 1 115,68 115,68 115,68 115,68 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-18 1 1 117,18 117,18 117,18 117,18 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-22 1 1 118,17 118,17 118,17 118,17 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-23 1 1 117,97 117,97 117,97 117,97 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-24 1 1 116,69 116,69 116,69 116,69 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-29 1 1 116,09 116,09 116,09 116,09 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-30 1 1 114,82 114,82 114,82 114,82 582791 Skandia Fonder AB Skandia Japan SEK 2005-03-31 1 1 116,66 116,66 116,66 116,66 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-01 1 1 116,74 116,74 116,74 116,74 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-04 1 1 116,7 116,7 116,7 116,7 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-05 1 1 117,52 117,52 117,52 117,52 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-06 1 1 117,8 117,8 117,8 117,8 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-07 1 1 117,45 117,45 117,45 117,45 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-08 1 1 118,17 118,17 118,17 118,17 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-11 1 1 116,71 116,71 116,71 116,71 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-12 1 1 115,39 115,39 115,39 115,39 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-13 1 1 116,23 116,23 116,23 116,23 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-14 1 1 115,64 115,64 115,64 115,64 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-15 1 1 113,59 113,59 113,59 113,59 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-18 1 1 109,08 109,08 109,08 109,08 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-19 1 1 111,14 111,14 111,14 111,14 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-20 1 1 111,35 111,35 111,35 111,35 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-21 1 1 109,97 109,97 109,97 109,97 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-22 1 1 111,57 111,57 111,57 111,57 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-25 1 1 112,51 112,51 112,51 112,51 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-26 1 1 111,93 111,93 111,93 111,93 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-27 1 1 112,03 112,03 112,03 112,03 582791 Skandia Fonder AB Skandia Japan SEK 2005-04-28 1 1 112,8 112,8 112,8 112,8 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-02 1 1 114,7 114,7 114,7 114,7 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-06 1 1 116,75 116,75 116,75 116,75 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-09 1 1 116,34 116,34 116,34 116,34 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-10 1 1 116,11 116,11 116,11 116,11 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-11 1 1 115,97 115,97 115,97 115,97 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-12 1 1 115,42 115,42 115,42 115,42 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-13 1 1 114,91 114,91 114,91 114,91 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-16 1 1 113,87 113,87 113,87 113,87 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-17 1 1 112,84 112,84 112,84 112,84 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-18 1 1 112,45 112,45 112,45 112,45 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-19 1 1 114,55 114,55 114,55 114,55 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-20 1 1 113,89 113,89 113,89 113,89 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-23 1 1 115,27 115,27 115,27 115,27 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-24 1 1 115,42 115,42 115,42 115,42 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-25 1 1 114,18 114,18 114,18 114,18 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-26 1 1 114,1 114,1 114,1 114,1 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-27 1 1 114,98 114,98 114,98 114,98 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-30 1 1 116,43 116,43 116,43 116,43 582791 Skandia Fonder AB Skandia Japan SEK 2005-05-31 1 1 117,43 117,43 117,43 117,43 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-01 1 1 118,18 118,18 118,18 118,18 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-02 1 1 118,47 118,47 118,47 118,47 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-03 1 1 118,55 118,55 118,55 118,55 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-07 1 1 118,91 118,91 118,91 118,91 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-08 1 1 119,69 119,69 119,69 119,69 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-09 1 1 118,73 118,73 118,73 118,73 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-10 1 1 120,19 120,19 120,19 120,19 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-13 1 1 120,75 120,75 120,75 120,75 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-14 1 1 120,9 120,9 120,9 120,9 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-15 1 1 121,02 121,02 121,02 121,02 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-16 1 1 121,79 121,79 121,79 121,79 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-17 1 1 121,44 121,44 121,44 121,44 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-20 1 1 120,87 120,87 120,87 120,87 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-21 1 1 122,25 122,25 122,25 122,25 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-22 1 1 123,08 123,08 123,08 123,08 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-23 1 1 125,13 125,13 125,13 125,13 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-27 1 1 122,1 122,1 122,1 122,1 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-28 1 1 122,83 122,83 122,83 122,83 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-29 1 1 124,22 124,22 124,22 124,22 582791 Skandia Fonder AB Skandia Japan SEK 2005-06-30 1 1 123,8 123,8 123,8 123,8 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-01 1 1 124,27 124,27 124,27 124,27 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-04 1 1 126,1 126,1 126,1 126,1 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-05 1 1 124,99 124,99 124,99 124,99 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-06 1 1 124,03 124,03 124,03 124,03 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-07 1 1 123,97 123,97 123,97 123,97 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-08 1 1 123,35 123,35 123,35 123,35 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-11 1 1 124,27 124,27 124,27 124,27 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-12 1 1 123,26 123,26 123,26 123,26 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-13 1 1 121,74 121,74 121,74 121,74 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-14 1 1 122,56 122,56 122,56 122,56 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-15 1 1 123,12 123,12 123,12 123,12 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-19 1 1 123,44 123,44 123,44 123,44 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-20 1 1 123,04 123,04 123,04 123,04 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-21 1 1 124,84 124,84 124,84 124,84 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-22 1 1 123,37 123,37 123,37 123,37 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-25 1 1 123,44 123,44 123,44 123,44 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-26 1 1 123,35 123,35 123,35 123,35 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-27 1 1 124,34 124,34 124,34 124,34 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-28 1 1 123,55 123,55 123,55 123,55 582791 Skandia Fonder AB Skandia Japan SEK 2005-07-29 1 1 123,73 123,73 123,73 123,73 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-01 1 1 123,49 123,49 123,49 123,49 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-02 1 1 123,88 123,88 123,88 123,88 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-03 1 1 123,76 123,76 123,76 123,76 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-04 1 1 121,85 121,85 121,85 121,85 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-05 1 1 119,55 119,55 119,55 119,55 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-08 1 1 119,43 119,43 119,43 119,43 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-09 1 1 120,8 120,8 120,8 120,8 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-10 1 1 124,03 124,03 124,03 124,03 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-11 1 1 125,47 125,47 125,47 125,47 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-12 1 1 126,4 126,4 126,4 126,4 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-15 1 1 127,35 127,35 127,35 127,35 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-16 1 1 128,5 128,5 128,5 128,5 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-17 1 1 128,16 128,16 128,16 128,16 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-18 1 1 129,07 129,07 129,07 129,07 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-19 1 1 129,28 129,28 129,28 129,28 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-22 1 1 131,89 131,89 131,89 131,89 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-23 1 1 131,58 131,58 131,58 131,58 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-24 1 1 131,1 131,1 131,1 131,1 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-25 1 1 130,11 130,11 130,11 130,11 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-26 1 1 130,43 130,43 130,43 130,43 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-29 1 1 128,12 128,12 128,12 128,12 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-30 1 1 130,02 130,02 130,02 130,02 582791 Skandia Fonder AB Skandia Japan SEK 2005-08-31 1 1 129,63 129,63 129,63 129,63 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-01 1 1 129,42 129,42 129,42 129,42 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-02 1 1 128,92 128,92 128,92 128,92 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-05 1 1 130,64 130,64 130,64 130,64 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-06 1 1 130,3 130,3 130,3 130,3 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-07 1 1 130,16 130,16 130,16 130,16 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-08 1 1 129,36 129,36 129,36 129,36 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-09 1 1 131,61 131,61 131,61 131,61 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-12 1 1 134,43 134,43 134,43 134,43 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-13 1 1 134,54 134,54 134,54 134,54 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-14 1 1 134,79 134,79 134,79 134,79 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-15 1 1 137,05 137,05 137,05 137,05 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-16 1 1 136,44 136,44 136,44 136,44 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-20 1 1 138,76 138,76 138,76 138,76 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-21 1 1 139,17 139,17 139,17 139,17 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-22 1 1 138,92 138,92 138,92 138,92 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-26 1 1 142,73 142,73 142,73 142,73 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-27 1 1 142,21 142,21 142,21 142,21 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-28 1 1 144,97 144,97 144,97 144,97 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-29 1 1 147,74 147,74 147,74 147,74 582791 Skandia Fonder AB Skandia Japan SEK 2005-09-30 1 1 145,33 145,33 145,33 145,33 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-03 1 1 145,72 145,72 145,72 145,72 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-04 1 1 146,31 146,31 146,31 146,31 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-05 1 1 145,17 145,17 145,17 145,17 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-06 1 1 139,38 139,38 139,38 139,38 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-07 1 1 139,75 139,75 139,75 139,75 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-11 1 1 144,17 144,17 144,17 144,17 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-12 1 1 143,93 143,93 143,93 143,93 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-13 1 1 145,15 145,15 145,15 145,15 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-14 1 1 144,46 144,46 144,46 144,46 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-17 1 1 143,44 143,44 143,44 143,44 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-18 1 1 143,28 143,28 143,28 143,28 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-19 1 1 141,84 141,84 141,84 141,84 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-20 1 1 142,48 142,48 142,48 142,48 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-21 1 1 142,04 142,04 142,04 142,04 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-24 1 1 142,64 142,64 142,64 142,64 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-25 1 1 142,76 142,76 142,76 142,76 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-26 1 1 143,78 143,78 143,78 143,78 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-27 1 1 145,35 145,35 145,35 145,35 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-28 1 1 144,72 144,72 144,72 144,72 582791 Skandia Fonder AB Skandia Japan SEK 2005-10-31 1 1 147,69 147,69 147,69 147,69 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-01 1 1 151,01 151,01 151,01 151,01 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-02 1 1 151,2 151,2 151,2 151,2 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-04 1 1 153,48 153,48 153,48 153,48 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-07 1 1 155,38 155,38 155,38 155,38 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-08 1 1 155,75 155,75 155,75 155,75 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-09 1 1 154,99 154,99 154,99 154,99 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-10 1 1 154,3 154,3 154,3 154,3 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-11 1 1 155,1 155,1 155,1 155,1 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-14 1 1 152,98 152,98 152,98 152,98 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-15 1 1 152,81 152,81 152,81 152,81 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-16 1 1 153,98 153,98 153,98 153,98 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-17 1 1 157,16 157,16 157,16 157,16 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-18 1 1 158,22 158,22 158,22 158,22 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-21 1 1 156,82 156,82 156,82 156,82 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-22 1 1 157,02 157,02 157,02 157,02 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-24 1 1 155,08 155,08 155,08 155,08 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-25 1 1 155,26 155,26 155,26 155,26 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-28 1 1 156,79 156,79 156,79 156,79 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-29 1 1 157,39 157,39 157,39 157,39 582791 Skandia Fonder AB Skandia Japan SEK 2005-11-30 1 1 156,68 156,68 156,68 156,68 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-01 1 1 158,78 158,78 158,78 158,78 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-02 1 1 159,92 159,92 159,92 159,92 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-05 1 1 160,27 160,27 160,27 160,27 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-06 1 1 158,85 158,85 158,85 158,85 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-07 1 1 160,53 160,53 160,53 160,53 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-08 1 1 157,67 157,67 157,67 157,67 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-12 1 1 160,68 160,68 160,68 160,68 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-13 1 1 162,09 162,09 162,09 162,09 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-14 1 1 161,38 161,38 161,38 161,38 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-15 1 1 161,88 161,88 161,88 161,88 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-16 1 1 161,87 161,87 161,87 161,87 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-19 1 1 162,87 162,87 162,87 162,87 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-20 1 1 164,72 164,72 164,72 164,72 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-21 1 1 167,7 167,7 167,7 167,7 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-22 1 1 168,92 168,92 168,92 168,92 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-27 1 1 168,11 168,11 168,11 168,11 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-28 1 1 167,67 167,67 167,67 167,67 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-29 1 1 169,12 169,12 169,12 169,12 582791 Skandia Fonder AB Skandia Japan SEK 2005-12-30 1 1 167,73 167,73 167,73 167,73 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-03 1 1 158,45 158,45 158,45 158,45 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-04 1 1 158,7 158,7 158,7 158,7 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-05 1 1 158,23 158,23 158,23 158,23 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-07 1 1 158,92 158,92 158,92 158,92 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-10 1 1 159,11 159,11 159,11 159,11 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-11 1 1 159,14 159,14 159,14 159,14 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-12 1 1 159,09 159,09 159,09 159,09 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-13 1 1 159,4 159,4 159,4 159,4 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-14 1 1 159,44 159,44 159,44 159,44 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-17 1 1 159,67 159,67 159,67 159,67 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-18 1 1 159,49 159,49 159,49 159,49 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-19 1 1 159,77 159,77 159,77 159,77 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-20 1 1 159,48 159,48 159,48 159,48 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-21 1 1 159,63 159,63 159,63 159,63 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-24 1 1 160,02 160,02 160,02 160,02 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-25 1 1 160,05 160,05 160,05 160,05 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-26 1 1 159,77 159,77 159,77 159,77 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-27 1 1 159,66 159,66 159,66 159,66 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-28 1 1 160 160 160 160 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-01-31 1 1 160,06 160,06 160,06 160,06 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-01 1 1 160,22 160,22 160,22 160,22 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-02 1 1 160,2 160,2 160,2 160,2 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-03 1 1 160,06 160,06 160,06 160,06 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-04 1 1 160,39 160,39 160,39 160,39 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-07 1 1 160,51 160,51 160,51 160,51 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-08 1 1 160,48 160,48 160,48 160,48 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-09 1 1 160,66 160,66 160,66 160,66 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-10 1 1 160,92 160,92 160,92 160,92 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-11 1 1 160,86 160,86 160,86 160,86 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-14 1 1 160,73 160,73 160,73 160,73 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-15 1 1 160,69 160,69 160,69 160,69 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-16 1 1 160,79 160,79 160,79 160,79 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-17 1 1 160,52 160,52 160,52 160,52 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-18 1 1 160,01 160,01 160,01 160,01 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-21 1 1 159,78 159,78 159,78 159,78 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-22 1 1 159,66 159,66 159,66 159,66 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-23 1 1 159,93 159,93 159,93 159,93 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-24 1 1 159,7 159,7 159,7 159,7 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-25 1 1 159,62 159,62 159,62 159,62 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-02-28 1 1 159,83 159,83 159,83 159,83 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-01 1 1 159,69 159,69 159,69 159,69 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-02 1 1 159,42 159,42 159,42 159,42 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-03 1 1 159,64 159,64 159,64 159,64 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-04 1 1 159,95 159,95 159,95 159,95 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-07 1 1 160,28 160,28 160,28 160,28 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-08 1 1 160,4 160,4 160,4 160,4 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-09 1 1 160,07 160,07 160,07 160,07 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-10 1 1 160,09 160,09 160,09 160,09 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-11 1 1 159,79 159,79 159,79 159,79 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-14 1 1 159,74 159,74 159,74 159,74 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-15 1 1 160,05 160,05 160,05 160,05 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-16 1 1 159,95 159,95 159,95 159,95 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-17 1 1 160,11 160,11 160,11 160,11 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-18 1 1 159,99 159,99 159,99 159,99 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-21 1 1 159,93 159,93 159,93 159,93 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-22 1 1 160,04 160,04 160,04 160,04 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-23 1 1 160,02 160,02 160,02 160,02 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-24 1 1 160,14 160,14 160,14 160,14 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-29 1 1 160,28 160,28 160,28 160,28 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-30 1 1 160,41 160,41 160,41 160,41 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-03-31 1 1 160,74 160,74 160,74 160,74 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-01 1 1 161,09 161,09 161,09 161,09 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-04 1 1 161,12 161,12 161,12 161,12 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-05 1 1 161,16 161,16 161,16 161,16 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-06 1 1 161,19 161,19 161,19 161,19 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-07 1 1 161,28 161,28 161,28 161,28 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-08 1 1 161,05 161,05 161,05 161,05 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-11 1 1 161,2 161,2 161,2 161,2 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-12 1 1 161,33 161,33 161,33 161,33 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-13 1 1 161,57 161,57 161,57 161,57 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-14 1 1 161,73 161,73 161,73 161,73 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-15 1 1 162,16 162,16 162,16 162,16 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-18 1 1 162,21 162,21 162,21 162,21 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-19 1 1 162,24 162,24 162,24 162,24 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-20 1 1 162,17 162,17 162,17 162,17 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-21 1 1 162,24 162,24 162,24 162,24 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-22 1 1 162,66 162,66 162,66 162,66 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-25 1 1 162,87 162,87 162,87 162,87 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-26 1 1 163,1 163,1 163,1 163,1 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-27 1 1 163,24 163,24 163,24 163,24 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-28 1 1 163,49 163,49 163,49 163,49 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-04-29 1 1 163,46 163,46 163,46 163,46 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-02 1 1 163,7 163,7 163,7 163,7 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-03 1 1 163,73 163,73 163,73 163,73 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-04 1 1 163,15 163,15 163,15 163,15 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-06 1 1 162,65 162,65 162,65 162,65 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-09 1 1 162,88 162,88 162,88 162,88 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-10 1 1 163,53 163,53 163,53 163,53 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-11 1 1 163,82 163,82 163,82 163,82 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-12 1 1 163,64 163,64 163,64 163,64 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-13 1 1 164,12 164,12 164,12 164,12 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-16 1 1 164,2 164,2 164,2 164,2 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-17 1 1 164,21 164,21 164,21 164,21 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-18 1 1 164,63 164,63 164,63 164,63 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-19 1 1 164,54 164,54 164,54 164,54 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-20 1 1 164,17 164,17 164,17 164,17 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-23 1 1 164,21 164,21 164,21 164,21 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-24 1 1 164,5 164,5 164,5 164,5 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-25 1 1 164,66 164,66 164,66 164,66 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-26 1 1 164,35 164,35 164,35 164,35 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-27 1 1 164,47 164,47 164,47 164,47 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-30 1 1 164,24 164,24 164,24 164,24 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-05-31 1 1 164,64 164,64 164,64 164,64 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-01 1 1 164,9 164,9 164,9 164,9 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-02 1 1 165,16 165,16 165,16 165,16 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-03 1 1 165,7 165,7 165,7 165,7 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-07 1 1 165,73 165,73 165,73 165,73 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-08 1 1 166,34 166,34 166,34 166,34 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-09 1 1 166,27 166,27 166,27 166,27 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-10 1 1 166,37 166,37 166,37 166,37 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-13 1 1 166,24 166,24 166,24 166,24 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-14 1 1 165,92 165,92 165,92 165,92 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-15 1 1 165,53 165,53 165,53 165,53 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-16 1 1 165,08 165,08 165,08 165,08 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-17 1 1 165,42 165,42 165,42 165,42 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-20 1 1 165,51 165,51 165,51 165,51 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-21 1 1 166,35 166,35 166,35 166,35 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-22 1 1 166,98 166,98 166,98 166,98 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-23 1 1 166,9 166,9 166,9 166,9 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-27 1 1 167,21 167,21 167,21 167,21 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-28 1 1 167 167 167 167 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-29 1 1 167,16 167,16 167,16 167,16 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-06-30 1 1 167,16 167,16 167,16 167,16 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-01 1 1 167,37 167,37 167,37 167,37 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-04 1 1 167,02 167,02 167,02 167,02 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-05 1 1 166,67 166,67 166,67 166,67 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-06 1 1 166,79 166,79 166,79 166,79 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-07 1 1 167,13 167,13 167,13 167,13 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-08 1 1 167,18 167,18 167,18 167,18 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-11 1 1 166,82 166,82 166,82 166,82 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-12 1 1 166,65 166,65 166,65 166,65 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-13 1 1 166,54 166,54 166,54 166,54 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-14 1 1 166,47 166,47 166,47 166,47 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-15 1 1 166,17 166,17 166,17 166,17 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-18 1 1 166,48 166,48 166,48 166,48 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-19 1 1 166,37 166,37 166,37 166,37 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-20 1 1 166,44 166,44 166,44 166,44 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-21 1 1 166,57 166,57 166,57 166,57 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-22 1 1 166,75 166,75 166,75 166,75 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-25 1 1 167 167 167 167 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-26 1 1 166,9 166,9 166,9 166,9 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-27 1 1 167,16 167,16 167,16 167,16 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-28 1 1 166,98 166,98 166,98 166,98 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-07-29 1 1 166,91 166,91 166,91 166,91 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-01 1 1 166,31 166,31 166,31 166,31 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-02 1 1 165,94 165,94 165,94 165,94 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-03 1 1 165,78 165,78 165,78 165,78 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-04 1 1 166,01 166,01 166,01 166,01 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-05 1 1 165,68 165,68 165,68 165,68 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-08 1 1 165,67 165,67 165,67 165,67 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-09 1 1 165,74 165,74 165,74 165,74 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-10 1 1 165,89 165,89 165,89 165,89 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-11 1 1 165,95 165,95 165,95 165,95 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-12 1 1 166,03 166,03 166,03 166,03 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-15 1 1 166,19 166,19 166,19 166,19 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-16 1 1 166,25 166,25 166,25 166,25 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-17 1 1 166,24 166,24 166,24 166,24 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-18 1 1 166,28 166,28 166,28 166,28 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-19 1 1 166,29 166,29 166,29 166,29 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-22 1 1 166,39 166,39 166,39 166,39 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-23 1 1 166,75 166,75 166,75 166,75 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-24 1 1 166,71 166,71 166,71 166,71 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-25 1 1 166,89 166,89 166,89 166,89 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-26 1 1 166,96 166,96 166,96 166,96 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-29 1 1 166,97 166,97 166,97 166,97 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-30 1 1 166,96 166,96 166,96 166,96 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-08-31 1 1 167,15 167,15 167,15 167,15 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-01 1 1 167,47 167,47 167,47 167,47 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-02 1 1 167,65 167,65 167,65 167,65 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-05 1 1 167,8 167,8 167,8 167,8 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-06 1 1 167,61 167,61 167,61 167,61 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-07 1 1 167,58 167,58 167,58 167,58 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-08 1 1 167,79 167,79 167,79 167,79 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-09 1 1 168,03 168,03 168,03 168,03 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-12 1 1 167,57 167,57 167,57 167,57 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-13 1 1 167,6 167,6 167,6 167,6 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-14 1 1 167,58 167,58 167,58 167,58 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-15 1 1 167,37 167,37 167,37 167,37 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-16 1 1 167,24 167,24 167,24 167,24 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-19 1 1 167,31 167,31 167,31 167,31 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-20 1 1 167,56 167,56 167,56 167,56 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-21 1 1 167,9 167,9 167,9 167,9 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-22 1 1 167,86 167,86 167,86 167,86 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-23 1 1 167,6 167,6 167,6 167,6 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-26 1 1 167,27 167,27 167,27 167,27 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-27 1 1 167,33 167,33 167,33 167,33 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-28 1 1 167,12 167,12 167,12 167,12 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-29 1 1 166,86 166,86 166,86 166,86 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-09-30 1 1 166,94 166,94 166,94 166,94 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-03 1 1 166,66 166,66 166,66 166,66 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-04 1 1 166,55 166,55 166,55 166,55 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-05 1 1 166,64 166,64 166,64 166,64 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-06 1 1 166,45 166,45 166,45 166,45 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-07 1 1 166,4 166,4 166,4 166,4 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-10 1 1 166,41 166,41 166,41 166,41 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-11 1 1 166,47 166,47 166,47 166,47 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-12 1 1 166,21 166,21 166,21 166,21 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-13 1 1 165,97 165,97 165,97 165,97 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-14 1 1 166,07 166,07 166,07 166,07 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-17 1 1 166,05 166,05 166,05 166,05 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-18 1 1 166,06 166,06 166,06 166,06 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-19 1 1 166,29 166,29 166,29 166,29 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-20 1 1 166,04 166,04 166,04 166,04 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-21 1 1 166,41 166,41 166,41 166,41 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-24 1 1 166,49 166,49 166,49 166,49 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-25 1 1 166,16 166,16 166,16 166,16 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-26 1 1 165,65 165,65 165,65 165,65 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-27 1 1 165,74 165,74 165,74 165,74 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-28 1 1 165,66 165,66 165,66 165,66 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-10-31 1 1 165,53 165,53 165,53 165,53 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-01 1 1 165,56 165,56 165,56 165,56 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-02 1 1 165,15 165,15 165,15 165,15 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-03 1 1 165,14 165,14 165,14 165,14 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-04 1 1 164,68 164,68 164,68 164,68 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-07 1 1 164,62 164,62 164,62 164,62 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-08 1 1 164,74 164,74 164,74 164,74 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-09 1 1 164,55 164,55 164,55 164,55 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-10 1 1 164,55 164,55 164,55 164,55 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-11 1 1 164,74 164,74 164,74 164,74 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-14 1 1 164,94 164,94 164,94 164,94 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-15 1 1 164,68 164,68 164,68 164,68 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-16 1 1 165,14 165,14 165,14 165,14 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-17 1 1 165,05 165,05 165,05 165,05 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-18 1 1 164,64 164,64 164,64 164,64 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-21 1 1 158,39 158,39 158,39 158,39 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-22 1 1 158,57 158,57 158,57 158,57 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-23 1 1 158,67 158,67 158,67 158,67 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-24 1 1 159,08 159,08 159,08 159,08 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-25 1 1 158,9 158,9 158,9 158,9 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-28 1 1 158,94 158,94 158,94 158,94 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-29 1 1 159,04 159,04 159,04 159,04 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-11-30 1 1 158,72 158,72 158,72 158,72 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-01 1 1 158,98 158,98 158,98 158,98 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-02 1 1 158,61 158,61 158,61 158,61 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-05 1 1 158,4 158,4 158,4 158,4 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-06 1 1 158,35 158,35 158,35 158,35 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-07 1 1 158,52 158,52 158,52 158,52 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-08 1 1 158,39 158,39 158,39 158,39 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-12 1 1 158,3 158,3 158,3 158,3 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-13 1 1 158,46 158,46 158,46 158,46 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-14 1 1 158,73 158,73 158,73 158,73 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-15 1 1 158,95 158,95 158,95 158,95 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-16 1 1 159 159 159 159 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-19 1 1 159,19 159,19 159,19 159,19 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-20 1 1 159,06 159,06 159,06 159,06 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-21 1 1 158,85 158,85 158,85 158,85 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-22 1 1 158,72 158,72 158,72 158,72 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-23 1 1 158,83 158,83 158,83 158,83 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-27 1 1 159,11 159,11 159,11 159,11 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-28 1 1 159,1 159,1 159,1 159,1 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-29 1 1 159,04 159,04 159,04 159,04 726117 Skandia Fonder AB Skandia Kapitalmarknadsfond SEK 2005-12-30 1 1 159,17 159,17 159,17 159,17 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-03 1 1 216,57 216,57 216,57 216,57 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-04 1 1 217,17 217,17 217,17 217,17 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-05 1 1 216,32 216,32 216,32 216,32 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-07 1 1 216,71 216,71 216,71 216,71 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-10 1 1 217,83 217,83 217,83 217,83 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-11 1 1 217,07 217,07 217,07 217,07 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-12 1 1 215,63 215,63 215,63 215,63 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-13 1 1 215,77 215,77 215,77 215,77 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-14 1 1 216,44 216,44 216,44 216,44 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-17 1 1 217,39 217,39 217,39 217,39 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-18 1 1 216,71 216,71 216,71 216,71 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-19 1 1 217,59 217,59 217,59 217,59 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-20 1 1 216,43 216,43 216,43 216,43 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-21 1 1 216,47 216,47 216,47 216,47 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-24 1 1 215,48 215,48 215,48 215,48 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-25 1 1 216,48 216,48 216,48 216,48 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-26 1 1 216,66 216,66 216,66 216,66 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-27 1 1 216,89 216,89 216,89 216,89 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-28 1 1 217,06 217,06 217,06 217,06 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-01-31 1 1 217,89 217,89 217,89 217,89 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-01 1 1 218,03 218,03 218,03 218,03 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-02 1 1 218,6 218,6 218,6 218,6 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-03 1 1 218,77 218,77 218,77 218,77 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-04 1 1 219,58 219,58 219,58 219,58 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-07 1 1 220,84 220,84 220,84 220,84 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-08 1 1 221,21 221,21 221,21 221,21 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-09 1 1 221,42 221,42 221,42 221,42 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-10 1 1 220,55 220,55 220,55 220,55 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-11 1 1 221,04 221,04 221,04 221,04 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-14 1 1 221,4 221,4 221,4 221,4 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-15 1 1 221,24 221,24 221,24 221,24 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-16 1 1 220,59 220,59 220,59 220,59 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-17 1 1 221,43 221,43 221,43 221,43 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-18 1 1 220,35 220,35 220,35 220,35 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-21 1 1 220,68 220,68 220,68 220,68 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-22 1 1 219,14 219,14 219,14 219,14 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-23 1 1 219,28 219,28 219,28 219,28 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-24 1 1 219,13 219,13 219,13 219,13 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-25 1 1 220,11 220,11 220,11 220,11 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-02-28 1 1 220,58 220,58 220,58 220,58 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-01 1 1 220,58 220,58 220,58 220,58 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-02 1 1 220,82 220,82 220,82 220,82 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-03 1 1 221,59 221,59 221,59 221,59 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-04 1 1 221,67 221,67 221,67 221,67 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-07 1 1 222,08 222,08 222,08 222,08 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-08 1 1 221,47 221,47 221,47 221,47 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-09 1 1 220,92 220,92 220,92 220,92 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-10 1 1 220,1 220,1 220,1 220,1 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-11 1 1 220,19 220,19 220,19 220,19 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-14 1 1 220,13 220,13 220,13 220,13 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-15 1 1 221,41 221,41 221,41 221,41 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-16 1 1 219,93 219,93 219,93 219,93 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-17 1 1 219,64 219,64 219,64 219,64 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-18 1 1 220,27 220,27 220,27 220,27 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-21 1 1 220,3 220,3 220,3 220,3 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-22 1 1 220,54 220,54 220,54 220,54 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-23 1 1 219,94 219,94 219,94 219,94 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-24 1 1 220,62 220,62 220,62 220,62 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-29 1 1 220,94 220,94 220,94 220,94 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-30 1 1 220,27 220,27 220,27 220,27 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-03-31 1 1 221,44 221,44 221,44 221,44 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-01 1 1 221,85 221,85 221,85 221,85 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-04 1 1 221,91 221,91 221,91 221,91 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-05 1 1 223,01 223,01 223,01 223,01 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-06 1 1 223,46 223,46 223,46 223,46 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-07 1 1 223,56 223,56 223,56 223,56 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-08 1 1 224,56 224,56 224,56 224,56 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-11 1 1 224,14 224,14 224,14 224,14 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-12 1 1 223,68 223,68 223,68 223,68 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-13 1 1 224,69 224,69 224,69 224,69 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-14 1 1 225,15 225,15 225,15 225,15 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-15 1 1 223,55 223,55 223,55 223,55 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-18 1 1 221,05 221,05 221,05 221,05 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-19 1 1 222,09 222,09 222,09 222,09 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-20 1 1 221,9 221,9 221,9 221,9 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-21 1 1 221,81 221,81 221,81 221,81 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-22 1 1 222,7 222,7 222,7 222,7 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-25 1 1 222,89 222,89 222,89 222,89 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-26 1 1 222,21 222,21 222,21 222,21 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-27 1 1 220,48 220,48 220,48 220,48 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-28 1 1 219,9 219,9 219,9 219,9 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-04-29 1 1 220,65 220,65 220,65 220,65 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-02 1 1 221,9 221,9 221,9 221,9 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-03 1 1 221,92 221,92 221,92 221,92 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-04 1 1 221,46 221,46 221,46 221,46 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-06 1 1 223,16 223,16 223,16 223,16 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-09 1 1 223,25 223,25 223,25 223,25 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-10 1 1 222,8 222,8 222,8 222,8 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-11 1 1 223,06 223,06 223,06 223,06 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-12 1 1 223,81 223,81 223,81 223,81 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-13 1 1 223,97 223,97 223,97 223,97 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-16 1 1 224,01 224,01 224,01 224,01 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-17 1 1 224,46 224,46 224,46 224,46 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-18 1 1 225,72 225,72 225,72 225,72 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-19 1 1 226,37 226,37 226,37 226,37 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-20 1 1 226,24 226,24 226,24 226,24 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-23 1 1 226,33 226,33 226,33 226,33 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-24 1 1 226,42 226,42 226,42 226,42 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-25 1 1 226,65 226,65 226,65 226,65 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-26 1 1 227,23 227,23 227,23 227,23 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-27 1 1 227,55 227,55 227,55 227,55 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-30 1 1 227,91 227,91 227,91 227,91 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-05-31 1 1 228,62 228,62 228,62 228,62 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-01 1 1 228,86 228,86 228,86 228,86 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-02 1 1 229,13 229,13 229,13 229,13 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-03 1 1 228,94 228,94 228,94 228,94 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-07 1 1 229,17 229,17 229,17 229,17 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-08 1 1 230,22 230,22 230,22 230,22 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-09 1 1 230,13 230,13 230,13 230,13 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-10 1 1 231,29 231,29 231,29 231,29 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-13 1 1 231,81 231,81 231,81 231,81 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-14 1 1 232,4 232,4 232,4 232,4 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-15 1 1 232,37 232,37 232,37 232,37 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-16 1 1 232,49 232,49 232,49 232,49 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-17 1 1 232,97 232,97 232,97 232,97 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-20 1 1 232,61 232,61 232,61 232,61 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-21 1 1 234,05 234,05 234,05 234,05 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-22 1 1 235,2 235,2 235,2 235,2 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-23 1 1 236,26 236,26 236,26 236,26 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-27 1 1 233,78 233,78 233,78 233,78 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-28 1 1 234,37 234,37 234,37 234,37 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-29 1 1 236,03 236,03 236,03 236,03 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-06-30 1 1 236,11 236,11 236,11 236,11 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-01 1 1 236,47 236,47 236,47 236,47 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-04 1 1 237,43 237,43 237,43 237,43 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-05 1 1 236,84 236,84 236,84 236,84 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-06 1 1 237,18 237,18 237,18 237,18 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-07 1 1 235,07 235,07 235,07 235,07 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-08 1 1 237,07 237,07 237,07 237,07 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-11 1 1 238,78 238,78 238,78 238,78 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-12 1 1 238,48 238,48 238,48 238,48 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-13 1 1 238,74 238,74 238,74 238,74 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-14 1 1 239,71 239,71 239,71 239,71 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-15 1 1 239,27 239,27 239,27 239,27 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-18 1 1 239,04 239,04 239,04 239,04 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-19 1 1 239,63 239,63 239,63 239,63 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-20 1 1 239,09 239,09 239,09 239,09 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-21 1 1 240,19 240,19 240,19 240,19 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-22 1 1 240,15 240,15 240,15 240,15 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-25 1 1 240,15 240,15 240,15 240,15 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-26 1 1 240,93 240,93 240,93 240,93 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-27 1 1 241,2 241,2 241,2 241,2 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-28 1 1 241,57 241,57 241,57 241,57 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-07-29 1 1 241,61 241,61 241,61 241,61 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-01 1 1 240,79 240,79 240,79 240,79 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-02 1 1 241,02 241,02 241,02 241,02 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-03 1 1 240,97 240,97 240,97 240,97 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-04 1 1 240,2 240,2 240,2 240,2 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-05 1 1 239,62 239,62 239,62 239,62 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-08 1 1 239,62 239,62 239,62 239,62 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-09 1 1 240,02 240,02 240,02 240,02 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-10 1 1 241,6 241,6 241,6 241,6 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-11 1 1 240,99 240,99 240,99 240,99 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-12 1 1 241,07 241,07 241,07 241,07 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-15 1 1 241,11 241,11 241,11 241,11 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-16 1 1 241,74 241,74 241,74 241,74 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-17 1 1 240,54 240,54 240,54 240,54 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-18 1 1 240,84 240,84 240,84 240,84 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-19 1 1 241,92 241,92 241,92 241,92 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-22 1 1 242,32 242,32 242,32 242,32 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-23 1 1 241,43 241,43 241,43 241,43 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-24 1 1 239,65 239,65 239,65 239,65 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-25 1 1 238,89 238,89 238,89 238,89 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-26 1 1 238,22 238,22 238,22 238,22 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-29 1 1 237,93 237,93 237,93 237,93 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-30 1 1 238,66 238,66 238,66 238,66 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-08-31 1 1 239,29 239,29 239,29 239,29 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-01 1 1 239,82 239,82 239,82 239,82 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-02 1 1 239,09 239,09 239,09 239,09 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-05 1 1 239,74 239,74 239,74 239,74 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-06 1 1 240,29 240,29 240,29 240,29 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-07 1 1 241,11 241,11 241,11 241,11 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-08 1 1 241,11 241,11 241,11 241,11 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-09 1 1 241,84 241,84 241,84 241,84 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-12 1 1 242,28 242,28 242,28 242,28 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-13 1 1 242,33 242,33 242,33 242,33 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-14 1 1 242,63 242,63 242,63 242,63 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-15 1 1 242,52 242,52 242,52 242,52 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-16 1 1 242,73 242,73 242,73 242,73 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-19 1 1 243,27 243,27 243,27 243,27 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-20 1 1 243,17 243,17 243,17 243,17 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-21 1 1 242,2 242,2 242,2 242,2 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-22 1 1 241,95 241,95 241,95 241,95 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-23 1 1 242,41 242,41 242,41 242,41 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-26 1 1 243,79 243,79 243,79 243,79 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-27 1 1 244,35 244,35 244,35 244,35 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-28 1 1 244,88 244,88 244,88 244,88 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-29 1 1 244,79 244,79 244,79 244,79 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-09-30 1 1 245,24 245,24 245,24 245,24 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-03 1 1 246,04 246,04 246,04 246,04 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-04 1 1 246,25 246,25 246,25 246,25 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-05 1 1 245,14 245,14 245,14 245,14 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-06 1 1 242,71 242,71 242,71 242,71 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-07 1 1 242,91 242,91 242,91 242,91 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-10 1 1 243,47 243,47 243,47 243,47 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-11 1 1 243,72 243,72 243,72 243,72 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-12 1 1 242,95 242,95 242,95 242,95 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-13 1 1 241,66 241,66 241,66 241,66 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-14 1 1 241,77 241,77 241,77 241,77 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-17 1 1 242,19 242,19 242,19 242,19 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-18 1 1 241,84 241,84 241,84 241,84 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-19 1 1 240,28 240,28 240,28 240,28 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-20 1 1 241,34 241,34 241,34 241,34 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-21 1 1 240,06 240,06 240,06 240,06 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-24 1 1 241,62 241,62 241,62 241,62 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-25 1 1 242,04 242,04 242,04 242,04 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-26 1 1 241,89 241,89 241,89 241,89 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-27 1 1 240,89 240,89 240,89 240,89 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-28 1 1 240,33 240,33 240,33 240,33 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-10-31 1 1 243,19 243,19 243,19 243,19 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-01 1 1 243,94 243,94 243,94 243,94 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-02 1 1 243,99 243,99 243,99 243,99 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-03 1 1 246,14 246,14 246,14 246,14 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-04 1 1 245,99 245,99 245,99 245,99 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-07 1 1 246,88 246,88 246,88 246,88 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-08 1 1 246,36 246,36 246,36 246,36 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-09 1 1 246,51 246,51 246,51 246,51 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-10 1 1 247,2 247,2 247,2 247,2 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-11 1 1 247,9 247,9 247,9 247,9 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-14 1 1 248,34 248,34 248,34 248,34 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-15 1 1 247,75 247,75 247,75 247,75 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-16 1 1 247,95 247,95 247,95 247,95 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-17 1 1 248,62 248,62 248,62 248,62 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-18 1 1 248,97 248,97 248,97 248,97 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-21 1 1 243,86 243,86 243,86 243,86 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-22 1 1 244,74 244,74 244,74 244,74 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-23 1 1 244,34 244,34 244,34 244,34 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-24 1 1 244,52 244,52 244,52 244,52 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-25 1 1 244,74 244,74 244,74 244,74 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-28 1 1 244,88 244,88 244,88 244,88 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-29 1 1 244,85 244,85 244,85 244,85 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-11-30 1 1 244,16 244,16 244,16 244,16 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-01 1 1 245,49 245,49 245,49 245,49 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-02 1 1 246,19 246,19 246,19 246,19 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-05 1 1 245,8 245,8 245,8 245,8 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-06 1 1 245,78 245,78 245,78 245,78 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-07 1 1 246,17 246,17 246,17 246,17 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-08 1 1 245,89 245,89 245,89 245,89 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-12 1 1 246,29 246,29 246,29 246,29 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-13 1 1 246,22 246,22 246,22 246,22 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-14 1 1 245,93 245,93 245,93 245,93 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-15 1 1 245,97 245,97 245,97 245,97 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-16 1 1 246,52 246,52 246,52 246,52 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-19 1 1 246,79 246,79 246,79 246,79 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-20 1 1 246,51 246,51 246,51 246,51 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-21 1 1 247,77 247,77 247,77 247,77 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-22 1 1 248,14 248,14 248,14 248,14 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-23 1 1 248,95 248,95 248,95 248,95 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-27 1 1 249,74 249,74 249,74 249,74 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-28 1 1 248,61 248,61 248,61 248,61 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-29 1 1 249,37 249,37 249,37 249,37 546960 Skandia Fonder AB Skandia Paraplyfond SEK 2005-12-30 1 1 248,71 248,71 248,71 248,71 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-03 1 1 130,64 130,64 130,64 130,64 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-04 1 1 130,64 130,64 130,64 130,64 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-05 1 1 130,65 130,65 130,65 130,65 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-07 1 1 130,68 130,68 130,68 130,68 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-10 1 1 130,69 130,69 130,69 130,69 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-11 1 1 130,7 130,7 130,7 130,7 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-12 1 1 130,7 130,7 130,7 130,7 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-13 1 1 130,71 130,71 130,71 130,71 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-14 1 1 130,72 130,72 130,72 130,72 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-17 1 1 130,74 130,74 130,74 130,74 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-18 1 1 130,74 130,74 130,74 130,74 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-19 1 1 130,75 130,75 130,75 130,75 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-20 1 1 130,76 130,76 130,76 130,76 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-21 1 1 130,78 130,78 130,78 130,78 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-24 1 1 130,8 130,8 130,8 130,8 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-25 1 1 130,81 130,81 130,81 130,81 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-26 1 1 130,82 130,82 130,82 130,82 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-27 1 1 130,82 130,82 130,82 130,82 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-28 1 1 130,84 130,84 130,84 130,84 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-01-31 1 1 130,85 130,85 130,85 130,85 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-01 1 1 130,86 130,86 130,86 130,86 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-02 1 1 130,86 130,86 130,86 130,86 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-03 1 1 130,86 130,86 130,86 130,86 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-04 1 1 130,87 130,87 130,87 130,87 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-07 1 1 130,89 130,89 130,89 130,89 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-08 1 1 130,88 130,88 130,88 130,88 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-09 1 1 130,88 130,88 130,88 130,88 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-10 1 1 130,9 130,9 130,9 130,9 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-11 1 1 130,91 130,91 130,91 130,91 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-14 1 1 130,93 130,93 130,93 130,93 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-15 1 1 130,93 130,93 130,93 130,93 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-16 1 1 130,94 130,94 130,94 130,94 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-17 1 1 130,96 130,96 130,96 130,96 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-18 1 1 130,96 130,96 130,96 130,96 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-21 1 1 130,97 130,97 130,97 130,97 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-22 1 1 130,97 130,97 130,97 130,97 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-23 1 1 130,97 130,97 130,97 130,97 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-24 1 1 130,98 130,98 130,98 130,98 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-25 1 1 130,98 130,98 130,98 130,98 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-02-28 1 1 131,01 131,01 131,01 131,01 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-01 1 1 131,02 131,02 131,02 131,02 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-02 1 1 131,03 131,03 131,03 131,03 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-03 1 1 131,03 131,03 131,03 131,03 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-04 1 1 131,04 131,04 131,04 131,04 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-07 1 1 131,06 131,06 131,06 131,06 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-08 1 1 131,08 131,08 131,08 131,08 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-09 1 1 131,09 131,09 131,09 131,09 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-10 1 1 131,11 131,11 131,11 131,11 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-11 1 1 131,08 131,08 131,08 131,08 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-14 1 1 131,1 131,1 131,1 131,1 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-15 1 1 131,11 131,11 131,11 131,11 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-16 1 1 131,09 131,09 131,09 131,09 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-17 1 1 131,11 131,11 131,11 131,11 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-18 1 1 131,11 131,11 131,11 131,11 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-21 1 1 131,12 131,12 131,12 131,12 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-22 1 1 131,11 131,11 131,11 131,11 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-23 1 1 131,13 131,13 131,13 131,13 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-24 1 1 131,14 131,14 131,14 131,14 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-29 1 1 131,17 131,17 131,17 131,17 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-30 1 1 131,17 131,17 131,17 131,17 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-03-31 1 1 131,17 131,17 131,17 131,17 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-01 1 1 131,19 131,19 131,19 131,19 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-04 1 1 131,2 131,2 131,2 131,2 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-05 1 1 131,2 131,2 131,2 131,2 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-06 1 1 131,2 131,2 131,2 131,2 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-07 1 1 131,22 131,22 131,22 131,22 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-08 1 1 131,23 131,23 131,23 131,23 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-11 1 1 131,24 131,24 131,24 131,24 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-12 1 1 131,25 131,25 131,25 131,25 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-13 1 1 131,25 131,25 131,25 131,25 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-14 1 1 131,27 131,27 131,27 131,27 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-15 1 1 131,28 131,28 131,28 131,28 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-18 1 1 131,3 131,3 131,3 131,3 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-19 1 1 131,3 131,3 131,3 131,3 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-20 1 1 131,3 131,3 131,3 131,3 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-21 1 1 131,32 131,32 131,32 131,32 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-22 1 1 131,32 131,32 131,32 131,32 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-25 1 1 131,34 131,34 131,34 131,34 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-26 1 1 131,35 131,35 131,35 131,35 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-27 1 1 131,36 131,36 131,36 131,36 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-28 1 1 131,39 131,39 131,39 131,39 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-04-29 1 1 131,42 131,42 131,42 131,42 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-02 1 1 131,44 131,44 131,44 131,44 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-03 1 1 131,48 131,48 131,48 131,48 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-04 1 1 131,49 131,49 131,49 131,49 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-06 1 1 131,49 131,49 131,49 131,49 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-09 1 1 131,5 131,5 131,5 131,5 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-10 1 1 131,55 131,55 131,55 131,55 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-11 1 1 131,54 131,54 131,54 131,54 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-12 1 1 131,55 131,55 131,55 131,55 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-13 1 1 131,57 131,57 131,57 131,57 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-16 1 1 131,59 131,59 131,59 131,59 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-17 1 1 131,59 131,59 131,59 131,59 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-18 1 1 131,62 131,62 131,62 131,62 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-19 1 1 131,65 131,65 131,65 131,65 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-20 1 1 131,63 131,63 131,63 131,63 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-23 1 1 131,64 131,64 131,64 131,64 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-24 1 1 131,66 131,66 131,66 131,66 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-25 1 1 131,65 131,65 131,65 131,65 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-26 1 1 131,66 131,66 131,66 131,66 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-27 1 1 131,66 131,66 131,66 131,66 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-30 1 1 131,66 131,66 131,66 131,66 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-05-31 1 1 131,69 131,69 131,69 131,69 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-01 1 1 131,7 131,7 131,7 131,7 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-02 1 1 131,72 131,72 131,72 131,72 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-03 1 1 131,74 131,74 131,74 131,74 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-07 1 1 131,76 131,76 131,76 131,76 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-08 1 1 131,84 131,84 131,84 131,84 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-09 1 1 131,87 131,87 131,87 131,87 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-10 1 1 131,88 131,88 131,88 131,88 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-13 1 1 131,89 131,89 131,89 131,89 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-14 1 1 131,89 131,89 131,89 131,89 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-15 1 1 131,9 131,9 131,9 131,9 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-16 1 1 131,93 131,93 131,93 131,93 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-17 1 1 131,95 131,95 131,95 131,95 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-20 1 1 131,96 131,96 131,96 131,96 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-21 1 1 132,03 132,03 132,03 132,03 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-22 1 1 132,06 132,06 132,06 132,06 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-23 1 1 132,06 132,06 132,06 132,06 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-27 1 1 132,07 132,07 132,07 132,07 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-28 1 1 132,07 132,07 132,07 132,07 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-29 1 1 132,07 132,07 132,07 132,07 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-06-30 1 1 132,07 132,07 132,07 132,07 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-01 1 1 132,07 132,07 132,07 132,07 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-04 1 1 132,07 132,07 132,07 132,07 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-05 1 1 132,07 132,07 132,07 132,07 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-06 1 1 132,07 132,07 132,07 132,07 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-07 1 1 132,1 132,1 132,1 132,1 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-08 1 1 132,11 132,11 132,11 132,11 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-11 1 1 132,11 132,11 132,11 132,11 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-12 1 1 132,11 132,11 132,11 132,11 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-13 1 1 132,1 132,1 132,1 132,1 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-14 1 1 132,12 132,12 132,12 132,12 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-15 1 1 132,11 132,11 132,11 132,11 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-18 1 1 132,13 132,13 132,13 132,13 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-19 1 1 132,13 132,13 132,13 132,13 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-20 1 1 132,13 132,13 132,13 132,13 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-21 1 1 132,14 132,14 132,14 132,14 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-22 1 1 132,15 132,15 132,15 132,15 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-25 1 1 132,16 132,16 132,16 132,16 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-26 1 1 132,16 132,16 132,16 132,16 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-27 1 1 132,16 132,16 132,16 132,16 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-28 1 1 132,17 132,17 132,17 132,17 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-07-29 1 1 132,16 132,16 132,16 132,16 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-01 1 1 132,14 132,14 132,14 132,14 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-02 1 1 132,13 132,13 132,13 132,13 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-03 1 1 132,11 132,11 132,11 132,11 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-04 1 1 132,13 132,13 132,13 132,13 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-05 1 1 132,13 132,13 132,13 132,13 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-08 1 1 132,13 132,13 132,13 132,13 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-09 1 1 132,14 132,14 132,14 132,14 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-10 1 1 132,14 132,14 132,14 132,14 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-11 1 1 132,15 132,15 132,15 132,15 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-12 1 1 132,15 132,15 132,15 132,15 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-15 1 1 132,17 132,17 132,17 132,17 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-16 1 1 132,17 132,17 132,17 132,17 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-17 1 1 132,16 132,16 132,16 132,16 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-18 1 1 132,17 132,17 132,17 132,17 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-19 1 1 132,18 132,18 132,18 132,18 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-22 1 1 132,18 132,18 132,18 132,18 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-23 1 1 132,19 132,19 132,19 132,19 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-24 1 1 132,18 132,18 132,18 132,18 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-25 1 1 132,2 132,2 132,2 132,2 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-26 1 1 132,19 132,19 132,19 132,19 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-29 1 1 132,18 132,18 132,18 132,18 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-30 1 1 132,19 132,19 132,19 132,19 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-08-31 1 1 132,19 132,19 132,19 132,19 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-01 1 1 132,22 132,22 132,22 132,22 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-02 1 1 132,24 132,24 132,24 132,24 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-05 1 1 132,25 132,25 132,25 132,25 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-06 1 1 132,24 132,24 132,24 132,24 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-07 1 1 132,25 132,25 132,25 132,25 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-08 1 1 132,26 132,26 132,26 132,26 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-09 1 1 132,27 132,27 132,27 132,27 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-12 1 1 132,26 132,26 132,26 132,26 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-13 1 1 132,26 132,26 132,26 132,26 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-14 1 1 132,25 132,25 132,25 132,25 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-15 1 1 132,27 132,27 132,27 132,27 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-16 1 1 132,27 132,27 132,27 132,27 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-19 1 1 132,28 132,28 132,28 132,28 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-20 1 1 132,3 132,3 132,3 132,3 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-21 1 1 132,3 132,3 132,3 132,3 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-22 1 1 132,31 132,31 132,31 132,31 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-23 1 1 132,31 132,31 132,31 132,31 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-26 1 1 132,31 132,31 132,31 132,31 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-27 1 1 132,32 132,32 132,32 132,32 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-28 1 1 132,3 132,3 132,3 132,3 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-29 1 1 132,29 132,29 132,29 132,29 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-09-30 1 1 132,27 132,27 132,27 132,27 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-03 1 1 132,27 132,27 132,27 132,27 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-04 1 1 132,28 132,28 132,28 132,28 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-05 1 1 132,28 132,28 132,28 132,28 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-06 1 1 132,29 132,29 132,29 132,29 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-07 1 1 132,28 132,28 132,28 132,28 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-10 1 1 132,29 132,29 132,29 132,29 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-11 1 1 132,29 132,29 132,29 132,29 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-12 1 1 132,29 132,29 132,29 132,29 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-13 1 1 132,33 132,33 132,33 132,33 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-14 1 1 132,34 132,34 132,34 132,34 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-17 1 1 132,35 132,35 132,35 132,35 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-18 1 1 132,35 132,35 132,35 132,35 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-19 1 1 132,37 132,37 132,37 132,37 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-20 1 1 132,4 132,4 132,4 132,4 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-21 1 1 132,41 132,41 132,41 132,41 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-24 1 1 132,42 132,42 132,42 132,42 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-25 1 1 132,42 132,42 132,42 132,42 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-26 1 1 132,4 132,4 132,4 132,4 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-27 1 1 132,41 132,41 132,41 132,41 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-28 1 1 132,41 132,41 132,41 132,41 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-10-31 1 1 132,42 132,42 132,42 132,42 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-01 1 1 132,41 132,41 132,41 132,41 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-02 1 1 132,39 132,39 132,39 132,39 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-03 1 1 132,4 132,4 132,4 132,4 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-04 1 1 132,39 132,39 132,39 132,39 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-07 1 1 132,4 132,4 132,4 132,4 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-08 1 1 132,4 132,4 132,4 132,4 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-09 1 1 132,39 132,39 132,39 132,39 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-10 1 1 132,41 132,41 132,41 132,41 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-11 1 1 132,42 132,42 132,42 132,42 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-14 1 1 132,44 132,44 132,44 132,44 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-15 1 1 132,43 132,43 132,43 132,43 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-16 1 1 132,43 132,43 132,43 132,43 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-17 1 1 132,43 132,43 132,43 132,43 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-18 1 1 132,42 132,42 132,42 132,42 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-21 1 1 130,57 130,57 130,57 130,57 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-22 1 1 130,58 130,58 130,58 130,58 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-23 1 1 130,59 130,59 130,59 130,59 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-24 1 1 130,61 130,61 130,61 130,61 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-25 1 1 130,59 130,59 130,59 130,59 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-28 1 1 130,59 130,59 130,59 130,59 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-29 1 1 130,6 130,6 130,6 130,6 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-11-30 1 1 130,59 130,59 130,59 130,59 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-01 1 1 130,6 130,6 130,6 130,6 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-02 1 1 130,56 130,56 130,56 130,56 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-05 1 1 130,54 130,54 130,54 130,54 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-06 1 1 130,54 130,54 130,54 130,54 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-07 1 1 130,55 130,55 130,55 130,55 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-08 1 1 130,54 130,54 130,54 130,54 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-12 1 1 130,55 130,55 130,55 130,55 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-13 1 1 130,56 130,56 130,56 130,56 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-14 1 1 130,57 130,57 130,57 130,57 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-15 1 1 130,58 130,58 130,58 130,58 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-16 1 1 130,58 130,58 130,58 130,58 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-19 1 1 130,6 130,6 130,6 130,6 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-20 1 1 130,6 130,6 130,6 130,6 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-21 1 1 130,6 130,6 130,6 130,6 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-22 1 1 130,61 130,61 130,61 130,61 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-23 1 1 130,62 130,62 130,62 130,62 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-27 1 1 130,63 130,63 130,63 130,63 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-28 1 1 130,63 130,63 130,63 130,63 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-29 1 1 130,63 130,63 130,63 130,63 331983 Skandia Fonder AB Skandia Penningmarknadsfond SEK 2005-12-30 1 1 130,64 130,64 130,64 130,64 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-03 1 1 143,05 143,05 143,05 143,05 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-04 1 1 143,22 143,22 143,22 143,22 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-05 1 1 142,94 142,94 142,94 142,94 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-07 1 1 143,7 143,7 143,7 143,7 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-10 1 1 143,73 143,73 143,73 143,73 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-11 1 1 143,82 143,82 143,82 143,82 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-12 1 1 143,8 143,8 143,8 143,8 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-13 1 1 144,25 144,25 144,25 144,25 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-14 1 1 144,33 144,33 144,33 144,33 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-17 1 1 144,32 144,32 144,32 144,32 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-18 1 1 144,3 144,3 144,3 144,3 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-19 1 1 144,81 144,81 144,81 144,81 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-20 1 1 144,56 144,56 144,56 144,56 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-21 1 1 144,62 144,62 144,62 144,62 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-24 1 1 144,92 144,92 144,92 144,92 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-25 1 1 145,06 145,06 145,06 145,06 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-26 1 1 144,77 144,77 144,77 144,77 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-27 1 1 144,67 144,67 144,67 144,67 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-28 1 1 145,21 145,21 145,21 145,21 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-01-31 1 1 145,28 145,28 145,28 145,28 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-01 1 1 145,67 145,67 145,67 145,67 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-02 1 1 145,75 145,75 145,75 145,75 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-03 1 1 145,89 145,89 145,89 145,89 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-04 1 1 146,21 146,21 146,21 146,21 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-07 1 1 146,6 146,6 146,6 146,6 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-08 1 1 146,76 146,76 146,76 146,76 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-09 1 1 147,01 147,01 147,01 147,01 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-10 1 1 147,08 147,08 147,08 147,08 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-11 1 1 146,93 146,93 146,93 146,93 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-14 1 1 146,72 146,72 146,72 146,72 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-15 1 1 146,64 146,64 146,64 146,64 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-16 1 1 146,52 146,52 146,52 146,52 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-17 1 1 145,44 145,44 145,44 145,44 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-18 1 1 144,58 144,58 144,58 144,58 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-21 1 1 144,15 144,15 144,15 144,15 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-22 1 1 143,87 143,87 143,87 143,87 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-23 1 1 144,17 144,17 144,17 144,17 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-24 1 1 143,8 143,8 143,8 143,8 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-25 1 1 143,74 143,74 143,74 143,74 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-02-28 1 1 143,83 143,83 143,83 143,83 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-01 1 1 143,51 143,51 143,51 143,51 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-02 1 1 143,05 143,05 143,05 143,05 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-03 1 1 143,02 143,02 143,02 143,02 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-04 1 1 143,33 143,33 143,33 143,33 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-07 1 1 143,74 143,74 143,74 143,74 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-08 1 1 143,94 143,94 143,94 143,94 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-09 1 1 143,4 143,4 143,4 143,4 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-10 1 1 143,39 143,39 143,39 143,39 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-11 1 1 143,28 143,28 143,28 143,28 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-14 1 1 143,2 143,2 143,2 143,2 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-15 1 1 143,57 143,57 143,57 143,57 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-16 1 1 143,41 143,41 143,41 143,41 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-17 1 1 143,39 143,39 143,39 143,39 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-18 1 1 143,22 143,22 143,22 143,22 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-21 1 1 143,19 143,19 143,19 143,19 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-22 1 1 143,43 143,43 143,43 143,43 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-23 1 1 143,69 143,69 143,69 143,69 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-24 1 1 144,3 144,3 144,3 144,3 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-29 1 1 144,6 144,6 144,6 144,6 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-30 1 1 144,86 144,86 144,86 144,86 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-03-31 1 1 145,62 145,62 145,62 145,62 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-01 1 1 146,11 146,11 146,11 146,11 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-04 1 1 146,21 146,21 146,21 146,21 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-05 1 1 146,35 146,35 146,35 146,35 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-06 1 1 146,6 146,6 146,6 146,6 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-07 1 1 147,11 147,11 147,11 147,11 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-08 1 1 146,84 146,84 146,84 146,84 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-11 1 1 147,13 147,13 147,13 147,13 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-12 1 1 147,26 147,26 147,26 147,26 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-13 1 1 147,68 147,68 147,68 147,68 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-14 1 1 147,7 147,7 147,7 147,7 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-15 1 1 148,44 148,44 148,44 148,44 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-18 1 1 148,83 148,83 148,83 148,83 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-19 1 1 148,79 148,79 148,79 148,79 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-20 1 1 148,95 148,95 148,95 148,95 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-21 1 1 149,2 149,2 149,2 149,2 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-22 1 1 149,98 149,98 149,98 149,98 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-25 1 1 150,26 150,26 150,26 150,26 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-26 1 1 150,87 150,87 150,87 150,87 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-27 1 1 151,17 151,17 151,17 151,17 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-28 1 1 150,85 150,85 150,85 150,85 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-04-29 1 1 150,72 150,72 150,72 150,72 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-02 1 1 150,87 150,87 150,87 150,87 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-03 1 1 150,89 150,89 150,89 150,89 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-04 1 1 149,82 149,82 149,82 149,82 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-06 1 1 149,17 149,17 149,17 149,17 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-09 1 1 149,28 149,28 149,28 149,28 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-10 1 1 149,95 149,95 149,95 149,95 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-11 1 1 150,3 150,3 150,3 150,3 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-12 1 1 150,2 150,2 150,2 150,2 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-13 1 1 150,2 150,2 150,2 150,2 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-16 1 1 150,14 150,14 150,14 150,14 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-17 1 1 149,95 149,95 149,95 149,95 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-18 1 1 150,24 150,24 150,24 150,24 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-19 1 1 150,12 150,12 150,12 150,12 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-20 1 1 149,72 149,72 149,72 149,72 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-23 1 1 149,75 149,75 149,75 149,75 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-24 1 1 150,06 150,06 150,06 150,06 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-25 1 1 149,94 149,94 149,94 149,94 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-26 1 1 149,36 149,36 149,36 149,36 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-27 1 1 149,58 149,58 149,58 149,58 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-30 1 1 149,34 149,34 149,34 149,34 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-05-31 1 1 149,72 149,72 149,72 149,72 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-01 1 1 149,73 149,73 149,73 149,73 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-02 1 1 149,79 149,79 149,79 149,79 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-03 1 1 149,67 149,67 149,67 149,67 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-07 1 1 149,23 149,23 149,23 149,23 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-08 1 1 150,57 150,57 150,57 150,57 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-09 1 1 151,04 151,04 151,04 151,04 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-10 1 1 150,89 150,89 150,89 150,89 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-13 1 1 150,85 150,85 150,85 150,85 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-14 1 1 150,58 150,58 150,58 150,58 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-15 1 1 150,05 150,05 150,05 150,05 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-16 1 1 149,24 149,24 149,24 149,24 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-17 1 1 149,62 149,62 149,62 149,62 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-20 1 1 149,81 149,81 149,81 149,81 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-21 1 1 150,86 150,86 150,86 150,86 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-22 1 1 151,68 151,68 151,68 151,68 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-23 1 1 151,88 151,88 151,88 151,88 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-27 1 1 152,39 152,39 152,39 152,39 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-28 1 1 152,17 152,17 152,17 152,17 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-29 1 1 152,28 152,28 152,28 152,28 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-06-30 1 1 152,3 152,3 152,3 152,3 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-01 1 1 152,57 152,57 152,57 152,57 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-04 1 1 152,19 152,19 152,19 152,19 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-05 1 1 151,95 151,95 151,95 151,95 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-06 1 1 152,2 152,2 152,2 152,2 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-07 1 1 152,81 152,81 152,81 152,81 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-08 1 1 152,74 152,74 152,74 152,74 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-11 1 1 152,6 152,6 152,6 152,6 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-12 1 1 152,44 152,44 152,44 152,44 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-13 1 1 152,23 152,23 152,23 152,23 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-14 1 1 152,19 152,19 152,19 152,19 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-15 1 1 151,96 151,96 151,96 151,96 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-18 1 1 152,22 152,22 152,22 152,22 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-19 1 1 152,15 152,15 152,15 152,15 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-20 1 1 152,33 152,33 152,33 152,33 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-21 1 1 152,74 152,74 152,74 152,74 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-22 1 1 152,87 152,87 152,87 152,87 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-25 1 1 152,7 152,7 152,7 152,7 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-26 1 1 152,76 152,76 152,76 152,76 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-27 1 1 153 153 153 153 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-28 1 1 152,97 152,97 152,97 152,97 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-07-29 1 1 153,16 153,16 153,16 153,16 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-01 1 1 152,71 152,71 152,71 152,71 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-02 1 1 152,53 152,53 152,53 152,53 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-03 1 1 152,45 152,45 152,45 152,45 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-04 1 1 152,51 152,51 152,51 152,51 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-05 1 1 152,51 152,51 152,51 152,51 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-08 1 1 152,32 152,32 152,32 152,32 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-09 1 1 152,28 152,28 152,28 152,28 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-10 1 1 152,28 152,28 152,28 152,28 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-11 1 1 152,1 152,1 152,1 152,1 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-12 1 1 152,35 152,35 152,35 152,35 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-15 1 1 152,37 152,37 152,37 152,37 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-16 1 1 152,45 152,45 152,45 152,45 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-17 1 1 152,45 152,45 152,45 152,45 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-18 1 1 152,46 152,46 152,46 152,46 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-19 1 1 152,62 152,62 152,62 152,62 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-22 1 1 152,61 152,61 152,61 152,61 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-23 1 1 152,69 152,69 152,69 152,69 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-24 1 1 153,01 153,01 153,01 153,01 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-25 1 1 153,85 153,85 153,85 153,85 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-26 1 1 153,85 153,85 153,85 153,85 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-29 1 1 153,79 153,79 153,79 153,79 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-30 1 1 153,81 153,81 153,81 153,81 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-08-31 1 1 154,16 154,16 154,16 154,16 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-01 1 1 154,63 154,63 154,63 154,63 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-02 1 1 155,21 155,21 155,21 155,21 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-05 1 1 155,56 155,56 155,56 155,56 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-06 1 1 155,3 155,3 155,3 155,3 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-07 1 1 155,33 155,33 155,33 155,33 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-08 1 1 155,9 155,9 155,9 155,9 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-09 1 1 156,29 156,29 156,29 156,29 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-12 1 1 155,88 155,88 155,88 155,88 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-13 1 1 155,94 155,94 155,94 155,94 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-14 1 1 155,97 155,97 155,97 155,97 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-15 1 1 155,42 155,42 155,42 155,42 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-16 1 1 155,08 155,08 155,08 155,08 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-19 1 1 155,08 155,08 155,08 155,08 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-20 1 1 155,6 155,6 155,6 155,6 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-21 1 1 156,18 156,18 156,18 156,18 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-22 1 1 156,2 156,2 156,2 156,2 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-23 1 1 156,19 156,19 156,19 156,19 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-26 1 1 155,7 155,7 155,7 155,7 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-27 1 1 155,87 155,87 155,87 155,87 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-28 1 1 155,61 155,61 155,61 155,61 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-29 1 1 155,36 155,36 155,36 155,36 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-09-30 1 1 155,45 155,45 155,45 155,45 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-03 1 1 155,08 155,08 155,08 155,08 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-04 1 1 154,8 154,8 154,8 154,8 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-05 1 1 154,88 154,88 154,88 154,88 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-06 1 1 154,49 154,49 154,49 154,49 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-07 1 1 154,17 154,17 154,17 154,17 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-10 1 1 154,22 154,22 154,22 154,22 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-11 1 1 154,05 154,05 154,05 154,05 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-12 1 1 153,59 153,59 153,59 153,59 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-13 1 1 152,92 152,92 152,92 152,92 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-14 1 1 153,18 153,18 153,18 153,18 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-17 1 1 153,2 153,2 153,2 153,2 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-18 1 1 153,13 153,13 153,13 153,13 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-19 1 1 153,52 153,52 153,52 153,52 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-20 1 1 153,04 153,04 153,04 153,04 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-21 1 1 153,15 153,15 153,15 153,15 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-24 1 1 153,51 153,51 153,51 153,51 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-25 1 1 153,44 153,44 153,44 153,44 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-26 1 1 152,83 152,83 152,83 152,83 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-27 1 1 152,84 152,84 152,84 152,84 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-28 1 1 152,92 152,92 152,92 152,92 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-10-31 1 1 152,83 152,83 152,83 152,83 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-01 1 1 152,96 152,96 152,96 152,96 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-02 1 1 152,65 152,65 152,65 152,65 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-03 1 1 152,48 152,48 152,48 152,48 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-04 1 1 151,88 151,88 151,88 151,88 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-07 1 1 151,73 151,73 151,73 151,73 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-08 1 1 151,84 151,84 151,84 151,84 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-09 1 1 151,71 151,71 151,71 151,71 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-10 1 1 151,43 151,43 151,43 151,43 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-11 1 1 151,47 151,47 151,47 151,47 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-14 1 1 151,68 151,68 151,68 151,68 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-15 1 1 151,46 151,46 151,46 151,46 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-16 1 1 151,69 151,69 151,69 151,69 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-17 1 1 151,58 151,58 151,58 151,58 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-18 1 1 151,39 151,39 151,39 151,39 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-21 1 1 142,76 142,76 142,76 142,76 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-22 1 1 142,95 142,95 142,95 142,95 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-23 1 1 143,33 143,33 143,33 143,33 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-24 1 1 143,91 143,91 143,91 143,91 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-25 1 1 143,79 143,79 143,79 143,79 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-28 1 1 143,95 143,95 143,95 143,95 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-29 1 1 144,04 144,04 144,04 144,04 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-11-30 1 1 143,7 143,7 143,7 143,7 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-01 1 1 144,13 144,13 144,13 144,13 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-02 1 1 143,52 143,52 143,52 143,52 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-05 1 1 143,25 143,25 143,25 143,25 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-06 1 1 143,24 143,24 143,24 143,24 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-07 1 1 143,26 143,26 143,26 143,26 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-08 1 1 143,12 143,12 143,12 143,12 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-12 1 1 142,84 142,84 142,84 142,84 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-13 1 1 143 143 143 143 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-14 1 1 143,32 143,32 143,32 143,32 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-15 1 1 143,25 143,25 143,25 143,25 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-16 1 1 143,41 143,41 143,41 143,41 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-19 1 1 143,43 143,43 143,43 143,43 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-20 1 1 143,3 143,3 143,3 143,3 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-21 1 1 143,26 143,26 143,26 143,26 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-22 1 1 143,27 143,27 143,27 143,27 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-23 1 1 143,5 143,5 143,5 143,5 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-27 1 1 143,82 143,82 143,82 143,82 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-28 1 1 143,82 143,82 143,82 143,82 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-29 1 1 143,88 143,88 143,88 143,88 469817 Skandia Fonder AB Skandia Realräntefond SEK 2005-12-30 1 1 144,02 144,02 144,02 144,02 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-03 1 1 86,93 86,93 86,93 86,93 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-04 1 1 87,51 87,51 87,51 87,51 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-05 1 1 87,08 87,08 87,08 87,08 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-07 1 1 87,72 87,72 87,72 87,72 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-10 1 1 88,08 88,08 88,08 88,08 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-11 1 1 87,64 87,64 87,64 87,64 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-12 1 1 87,63 87,63 87,63 87,63 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-13 1 1 87,75 87,75 87,75 87,75 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-14 1 1 88,34 88,34 88,34 88,34 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-17 1 1 88,7 88,7 88,7 88,7 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-18 1 1 88,8 88,8 88,8 88,8 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-19 1 1 89,36 89,36 89,36 89,36 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-20 1 1 89,18 89,18 89,18 89,18 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-21 1 1 89,71 89,71 89,71 89,71 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-24 1 1 89,56 89,56 89,56 89,56 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-25 1 1 90,19 90,19 90,19 90,19 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-26 1 1 90,45 90,45 90,45 90,45 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-27 1 1 90,49 90,49 90,49 90,49 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-28 1 1 90,84 90,84 90,84 90,84 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-01-31 1 1 91,58 91,58 91,58 91,58 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-01 1 1 91,98 91,98 91,98 91,98 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-02 1 1 92,34 92,34 92,34 92,34 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-03 1 1 92,38 92,38 92,38 92,38 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-04 1 1 93,09 93,09 93,09 93,09 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-07 1 1 93,77 93,77 93,77 93,77 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-08 1 1 93,95 93,95 93,95 93,95 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-09 1 1 93,66 93,66 93,66 93,66 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-10 1 1 94,07 94,07 94,07 94,07 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-11 1 1 94,16 94,16 94,16 94,16 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-14 1 1 94,69 94,69 94,69 94,69 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-15 1 1 94,54 94,54 94,54 94,54 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-16 1 1 93,98 93,98 93,98 93,98 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-17 1 1 94,49 94,49 94,49 94,49 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-18 1 1 94,57 94,57 94,57 94,57 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-21 1 1 94,57 94,57 94,57 94,57 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-22 1 1 93,58 93,58 93,58 93,58 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-23 1 1 93,4 93,4 93,4 93,4 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-24 1 1 93,44 93,44 93,44 93,44 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-25 1 1 94,36 94,36 94,36 94,36 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-02-28 1 1 94,4 94,4 94,4 94,4 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-01 1 1 94,54 94,54 94,54 94,54 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-02 1 1 94,71 94,71 94,71 94,71 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-03 1 1 94,56 94,56 94,56 94,56 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-04 1 1 94,84 94,84 94,84 94,84 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-07 1 1 94,89 94,89 94,89 94,89 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-08 1 1 94,91 94,91 94,91 94,91 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-09 1 1 94,8 94,8 94,8 94,8 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-10 1 1 94,34 94,34 94,34 94,34 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-11 1 1 94,63 94,63 94,63 94,63 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-14 1 1 94,58 94,58 94,58 94,58 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-15 1 1 95,23 95,23 95,23 95,23 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-16 1 1 94,87 94,87 94,87 94,87 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-17 1 1 94,41 94,41 94,41 94,41 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-18 1 1 94,79 94,79 94,79 94,79 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-21 1 1 95,01 95,01 95,01 95,01 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-22 1 1 94,75 94,75 94,75 94,75 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-23 1 1 93,85 93,85 93,85 93,85 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-24 1 1 93,92 93,92 93,92 93,92 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-29 1 1 94,32 94,32 94,32 94,32 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-30 1 1 94,37 94,37 94,37 94,37 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-03-31 1 1 95,16 95,16 95,16 95,16 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-01 1 1 95,83 95,83 95,83 95,83 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-04 1 1 95,69 95,69 95,69 95,69 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-05 1 1 96,21 96,21 96,21 96,21 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-06 1 1 96,22 96,22 96,22 96,22 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-07 1 1 96,48 96,48 96,48 96,48 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-08 1 1 97,03 97,03 97,03 97,03 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-11 1 1 96,75 96,75 96,75 96,75 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-12 1 1 96,49 96,49 96,49 96,49 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-13 1 1 97,23 97,23 97,23 97,23 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-14 1 1 97,32 97,32 97,32 97,32 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-15 1 1 95,94 95,94 95,94 95,94 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-18 1 1 94,06 94,06 94,06 94,06 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-19 1 1 95,17 95,17 95,17 95,17 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-20 1 1 95,38 95,38 95,38 95,38 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-21 1 1 94,86 94,86 94,86 94,86 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-22 1 1 94,93 94,93 94,93 94,93 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-25 1 1 94,66 94,66 94,66 94,66 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-26 1 1 94,19 94,19 94,19 94,19 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-27 1 1 92,36 92,36 92,36 92,36 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-28 1 1 92,31 92,31 92,31 92,31 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-04-29 1 1 92,25 92,25 92,25 92,25 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-02 1 1 92,92 92,92 92,92 92,92 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-03 1 1 93,41 93,41 93,41 93,41 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-04 1 1 93,06 93,06 93,06 93,06 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-06 1 1 93,92 93,92 93,92 93,92 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-09 1 1 94,11 94,11 94,11 94,11 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-10 1 1 93,74 93,74 93,74 93,74 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-11 1 1 94,06 94,06 94,06 94,06 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-12 1 1 94,65 94,65 94,65 94,65 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-13 1 1 94,56 94,56 94,56 94,56 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-16 1 1 94,73 94,73 94,73 94,73 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-17 1 1 94,77 94,77 94,77 94,77 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-18 1 1 95,52 95,52 95,52 95,52 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-19 1 1 96,23 96,23 96,23 96,23 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-20 1 1 96,24 96,24 96,24 96,24 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-23 1 1 96,7 96,7 96,7 96,7 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-24 1 1 96,83 96,83 96,83 96,83 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-25 1 1 97,01 97,01 97,01 97,01 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-26 1 1 97,85 97,85 97,85 97,85 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-27 1 1 97,69 97,69 97,69 97,69 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-30 1 1 98,03 98,03 98,03 98,03 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-05-31 1 1 98,39 98,39 98,39 98,39 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-01 1 1 98,43 98,43 98,43 98,43 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-02 1 1 99,16 99,16 99,16 99,16 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-03 1 1 99,25 99,25 99,25 99,25 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-07 1 1 99,66 99,66 99,66 99,66 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-08 1 1 100,78 100,78 100,78 100,78 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-09 1 1 100,88 100,88 100,88 100,88 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-10 1 1 101,84 101,84 101,84 101,84 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-13 1 1 102,73 102,73 102,73 102,73 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-14 1 1 103,16 103,16 103,16 103,16 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-15 1 1 102,9 102,9 102,9 102,9 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-16 1 1 103,36 103,36 103,36 103,36 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-17 1 1 102,62 102,62 102,62 102,62 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-20 1 1 102,36 102,36 102,36 102,36 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-21 1 1 102,79 102,79 102,79 102,79 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-22 1 1 103,4 103,4 103,4 103,4 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-23 1 1 104,59 104,59 104,59 104,59 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-27 1 1 102,78 102,78 102,78 102,78 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-28 1 1 103,51 103,51 103,51 103,51 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-29 1 1 104,82 104,82 104,82 104,82 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-06-30 1 1 104,89 104,89 104,89 104,89 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-01 1 1 105,47 105,47 105,47 105,47 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-04 1 1 105,65 105,65 105,65 105,65 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-05 1 1 105,01 105,01 105,01 105,01 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-06 1 1 105,13 105,13 105,13 105,13 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-07 1 1 103,81 103,81 103,81 103,81 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-08 1 1 105,58 105,58 105,58 105,58 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-11 1 1 107,02 107,02 107,02 107,02 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-12 1 1 106,51 106,51 106,51 106,51 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-13 1 1 105,8 105,8 105,8 105,8 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-14 1 1 106,02 106,02 106,02 106,02 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-15 1 1 105,79 105,79 105,79 105,79 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-18 1 1 105,44 105,44 105,44 105,44 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-19 1 1 106,07 106,07 106,07 106,07 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-20 1 1 106,58 106,58 106,58 106,58 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-21 1 1 107,43 107,43 107,43 107,43 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-22 1 1 107,45 107,45 107,45 107,45 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-25 1 1 107,18 107,18 107,18 107,18 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-26 1 1 108,13 108,13 108,13 108,13 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-27 1 1 109,02 109,02 109,02 109,02 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-28 1 1 108,84 108,84 108,84 108,84 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-07-29 1 1 109,18 109,18 109,18 109,18 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-01 1 1 109,36 109,36 109,36 109,36 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-02 1 1 109,1 109,1 109,1 109,1 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-03 1 1 109,25 109,25 109,25 109,25 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-04 1 1 108,46 108,46 108,46 108,46 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-05 1 1 108,36 108,36 108,36 108,36 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-08 1 1 108,88 108,88 108,88 108,88 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-09 1 1 109,31 109,31 109,31 109,31 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-10 1 1 109,97 109,97 109,97 109,97 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-11 1 1 109,21 109,21 109,21 109,21 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-12 1 1 109,08 109,08 109,08 109,08 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-15 1 1 109,13 109,13 109,13 109,13 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-16 1 1 109,6 109,6 109,6 109,6 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-17 1 1 108,77 108,77 108,77 108,77 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-18 1 1 108,66 108,66 108,66 108,66 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-19 1 1 109,17 109,17 109,17 109,17 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-22 1 1 109,89 109,89 109,89 109,89 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-23 1 1 109,52 109,52 109,52 109,52 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-24 1 1 109,13 109,13 109,13 109,13 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-25 1 1 108,93 108,93 108,93 108,93 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-26 1 1 109,12 109,12 109,12 109,12 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-29 1 1 108,74 108,74 108,74 108,74 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-30 1 1 109,44 109,44 109,44 109,44 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-08-31 1 1 109,97 109,97 109,97 109,97 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-01 1 1 111,15 111,15 111,15 111,15 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-02 1 1 110,47 110,47 110,47 110,47 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-05 1 1 111,14 111,14 111,14 111,14 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-06 1 1 111,52 111,52 111,52 111,52 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-07 1 1 112,6 112,6 112,6 112,6 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-08 1 1 112,54 112,54 112,54 112,54 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-09 1 1 113,13 113,13 113,13 113,13 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-12 1 1 113,08 113,08 113,08 113,08 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-13 1 1 113,12 113,12 113,12 113,12 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-14 1 1 113,63 113,63 113,63 113,63 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-15 1 1 113,86 113,86 113,86 113,86 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-16 1 1 114,41 114,41 114,41 114,41 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-19 1 1 114,56 114,56 114,56 114,56 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-20 1 1 114,76 114,76 114,76 114,76 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-21 1 1 113,92 113,92 113,92 113,92 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-22 1 1 113,42 113,42 113,42 113,42 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-23 1 1 113,86 113,86 113,86 113,86 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-26 1 1 114,61 114,61 114,61 114,61 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-27 1 1 114,85 114,85 114,85 114,85 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-28 1 1 115,41 115,41 115,41 115,41 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-29 1 1 115,27 115,27 115,27 115,27 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-09-30 1 1 115,13 115,13 115,13 115,13 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-03 1 1 116,14 116,14 116,14 116,14 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-04 1 1 116,38 116,38 116,38 116,38 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-05 1 1 116,22 116,22 116,22 116,22 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-06 1 1 114,27 114,27 114,27 114,27 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-07 1 1 114,39 114,39 114,39 114,39 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-10 1 1 114,99 114,99 114,99 114,99 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-11 1 1 114,85 114,85 114,85 114,85 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-12 1 1 114,7 114,7 114,7 114,7 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-13 1 1 113,36 113,36 113,36 113,36 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-14 1 1 113,35 113,35 113,35 113,35 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-17 1 1 113,71 113,71 113,71 113,71 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-18 1 1 113,02 113,02 113,02 113,02 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-19 1 1 110,21 110,21 110,21 110,21 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-20 1 1 112,13 112,13 112,13 112,13 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-21 1 1 110,72 110,72 110,72 110,72 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-24 1 1 112,76 112,76 112,76 112,76 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-25 1 1 112,58 112,58 112,58 112,58 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-26 1 1 112,48 112,48 112,48 112,48 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-27 1 1 111,49 111,49 111,49 111,49 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-28 1 1 111,21 111,21 111,21 111,21 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-10-31 1 1 113,27 113,27 113,27 113,27 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-01 1 1 114,44 114,44 114,44 114,44 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-02 1 1 114,99 114,99 114,99 114,99 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-03 1 1 116,55 116,55 116,55 116,55 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-04 1 1 116,26 116,26 116,26 116,26 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-07 1 1 117,08 117,08 117,08 117,08 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-08 1 1 115,87 115,87 115,87 115,87 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-09 1 1 116,19 116,19 116,19 116,19 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-10 1 1 117,72 117,72 117,72 117,72 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-11 1 1 117,23 117,23 117,23 117,23 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-14 1 1 117,82 117,82 117,82 117,82 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-15 1 1 117,85 117,85 117,85 117,85 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-16 1 1 117,12 117,12 117,12 117,12 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-17 1 1 117,68 117,68 117,68 117,68 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-18 1 1 117,51 117,51 117,51 117,51 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-21 1 1 115,57 115,57 115,57 115,57 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-22 1 1 116,05 116,05 116,05 116,05 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-23 1 1 116,22 116,22 116,22 116,22 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-24 1 1 116,23 116,23 116,23 116,23 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-25 1 1 116,59 116,59 116,59 116,59 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-28 1 1 116,32 116,32 116,32 116,32 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-29 1 1 116,3 116,3 116,3 116,3 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-11-30 1 1 116,38 116,38 116,38 116,38 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-01 1 1 116,96 116,96 116,96 116,96 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-02 1 1 117,36 117,36 117,36 117,36 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-05 1 1 117,51 117,51 117,51 117,51 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-06 1 1 116,59 116,59 116,59 116,59 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-07 1 1 117,28 117,28 117,28 117,28 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-08 1 1 117,55 117,55 117,55 117,55 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-12 1 1 117,91 117,91 117,91 117,91 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-13 1 1 118,11 118,11 118,11 118,11 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-14 1 1 117,83 117,83 117,83 117,83 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-15 1 1 117,78 117,78 117,78 117,78 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-16 1 1 118,39 118,39 118,39 118,39 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-19 1 1 118,01 118,01 118,01 118,01 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-20 1 1 117,79 117,79 117,79 117,79 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-21 1 1 118,61 118,61 118,61 118,61 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-22 1 1 119,57 119,57 119,57 119,57 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-23 1 1 119,35 119,35 119,35 119,35 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-27 1 1 119,72 119,72 119,72 119,72 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-28 1 1 119,18 119,18 119,18 119,18 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-29 1 1 119,83 119,83 119,83 119,83 541474 Skandia Fonder AB Skandia Småbolag Europa SEK 2005-12-30 1 1 119,67 119,67 119,67 119,67 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-03 1 1 154,8 154,8 154,8 154,8 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-04 1 1 154,52 154,52 154,52 154,52 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-05 1 1 154,09 154,09 154,09 154,09 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-07 1 1 154,25 154,25 154,25 154,25 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-10 1 1 155,4 155,4 155,4 155,4 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-11 1 1 155,53 155,53 155,53 155,53 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-12 1 1 154,5 154,5 154,5 154,5 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-13 1 1 155,03 155,03 155,03 155,03 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-14 1 1 155,2 155,2 155,2 155,2 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-17 1 1 156,06 156,06 156,06 156,06 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-18 1 1 155,49 155,49 155,49 155,49 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-19 1 1 156,77 156,77 156,77 156,77 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-20 1 1 156,01 156,01 156,01 156,01 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-21 1 1 155,74 155,74 155,74 155,74 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-24 1 1 154,79 154,79 154,79 154,79 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-25 1 1 155,99 155,99 155,99 155,99 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-26 1 1 156,48 156,48 156,48 156,48 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-27 1 1 156,68 156,68 156,68 156,68 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-28 1 1 156,56 156,56 156,56 156,56 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-01-31 1 1 157,27 157,27 157,27 157,27 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-01 1 1 158,41 158,41 158,41 158,41 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-02 1 1 159,56 159,56 159,56 159,56 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-03 1 1 159,7 159,7 159,7 159,7 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-04 1 1 161,01 161,01 161,01 161,01 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-07 1 1 163 163 163 163 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-08 1 1 163,42 163,42 163,42 163,42 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-09 1 1 163,93 163,93 163,93 163,93 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-10 1 1 162,85 162,85 162,85 162,85 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-11 1 1 162,93 162,93 162,93 162,93 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-14 1 1 163,95 163,95 163,95 163,95 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-15 1 1 163,8 163,8 163,8 163,8 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-16 1 1 164,14 164,14 164,14 164,14 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-17 1 1 165,3 165,3 165,3 165,3 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-18 1 1 165,3 165,3 165,3 165,3 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-21 1 1 164,97 164,97 164,97 164,97 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-22 1 1 164,02 164,02 164,02 164,02 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-23 1 1 164,1 164,1 164,1 164,1 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-24 1 1 165,61 165,61 165,61 165,61 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-25 1 1 166,74 166,74 166,74 166,74 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-02-28 1 1 167,39 167,39 167,39 167,39 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-01 1 1 167,61 167,61 167,61 167,61 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-02 1 1 168,24 168,24 168,24 168,24 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-03 1 1 168,91 168,91 168,91 168,91 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-04 1 1 170,03 170,03 170,03 170,03 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-07 1 1 170,15 170,15 170,15 170,15 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-08 1 1 170,6 170,6 170,6 170,6 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-09 1 1 169,99 169,99 169,99 169,99 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-10 1 1 169,2 169,2 169,2 169,2 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-11 1 1 169,81 169,81 169,81 169,81 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-14 1 1 169,91 169,91 169,91 169,91 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-15 1 1 170,78 170,78 170,78 170,78 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-16 1 1 170,34 170,34 170,34 170,34 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-17 1 1 170,81 170,81 170,81 170,81 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-18 1 1 171,15 171,15 171,15 171,15 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-21 1 1 171,67 171,67 171,67 171,67 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-22 1 1 172,19 172,19 172,19 172,19 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-23 1 1 171,69 171,69 171,69 171,69 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-24 1 1 172,8 172,8 172,8 172,8 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-29 1 1 172,8 172,8 172,8 172,8 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-30 1 1 171,77 171,77 171,77 171,77 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-03-31 1 1 173,15 173,15 173,15 173,15 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-01 1 1 173,61 173,61 173,61 173,61 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-04 1 1 173,81 173,81 173,81 173,81 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-05 1 1 174,83 174,83 174,83 174,83 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-06 1 1 176,14 176,14 176,14 176,14 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-07 1 1 176,42 176,42 176,42 176,42 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-08 1 1 177,16 177,16 177,16 177,16 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-11 1 1 176,97 176,97 176,97 176,97 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-12 1 1 176,2 176,2 176,2 176,2 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-13 1 1 177,57 177,57 177,57 177,57 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-14 1 1 177,89 177,89 177,89 177,89 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-15 1 1 174,97 174,97 174,97 174,97 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-18 1 1 170,82 170,82 170,82 170,82 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-19 1 1 172,64 172,64 172,64 172,64 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-20 1 1 173,42 173,42 173,42 173,42 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-21 1 1 172,4 172,4 172,4 172,4 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-22 1 1 172,47 172,47 172,47 172,47 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-25 1 1 172,04 172,04 172,04 172,04 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-26 1 1 171,35 171,35 171,35 171,35 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-27 1 1 167,67 167,67 167,67 167,67 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-28 1 1 166,58 166,58 166,58 166,58 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-04-29 1 1 167,17 167,17 167,17 167,17 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-02 1 1 169,19 169,19 169,19 169,19 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-03 1 1 170,35 170,35 170,35 170,35 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-04 1 1 168,88 168,88 168,88 168,88 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-06 1 1 169,92 169,92 169,92 169,92 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-09 1 1 170,05 170,05 170,05 170,05 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-10 1 1 168,99 168,99 168,99 168,99 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-11 1 1 168,1 168,1 168,1 168,1 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-12 1 1 169,17 169,17 169,17 169,17 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-13 1 1 169,07 169,07 169,07 169,07 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-16 1 1 170,21 170,21 170,21 170,21 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-17 1 1 170,96 170,96 170,96 170,96 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-18 1 1 172,05 172,05 172,05 172,05 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-19 1 1 172,56 172,56 172,56 172,56 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-20 1 1 172,27 172,27 172,27 172,27 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-23 1 1 173,3 173,3 173,3 173,3 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-24 1 1 173,84 173,84 173,84 173,84 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-25 1 1 174,17 174,17 174,17 174,17 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-26 1 1 175,76 175,76 175,76 175,76 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-27 1 1 175,86 175,86 175,86 175,86 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-30 1 1 176,08 176,08 176,08 176,08 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-05-31 1 1 176,54 176,54 176,54 176,54 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-01 1 1 175,8 175,8 175,8 175,8 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-02 1 1 175,4 175,4 175,4 175,4 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-03 1 1 175,97 175,97 175,97 175,97 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-07 1 1 176,82 176,82 176,82 176,82 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-08 1 1 178,89 178,89 178,89 178,89 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-09 1 1 179,2 179,2 179,2 179,2 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-10 1 1 180,08 180,08 180,08 180,08 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-13 1 1 181,43 181,43 181,43 181,43 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-14 1 1 181,85 181,85 181,85 181,85 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-15 1 1 182,49 182,49 182,49 182,49 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-16 1 1 181,63 181,63 181,63 181,63 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-17 1 1 182,56 182,56 182,56 182,56 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-20 1 1 182,59 182,59 182,59 182,59 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-21 1 1 182,81 182,81 182,81 182,81 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-22 1 1 183,96 183,96 183,96 183,96 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-23 1 1 183,78 183,78 183,78 183,78 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-27 1 1 181,83 181,83 181,83 181,83 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-28 1 1 183,18 183,18 183,18 183,18 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-29 1 1 183,69 183,69 183,69 183,69 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-06-30 1 1 184,61 184,61 184,61 184,61 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-01 1 1 185,03 185,03 185,03 185,03 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-04 1 1 186,13 186,13 186,13 186,13 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-05 1 1 186,65 186,65 186,65 186,65 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-06 1 1 186,17 186,17 186,17 186,17 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-07 1 1 182,64 182,64 182,64 182,64 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-08 1 1 185,4 185,4 185,4 185,4 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-11 1 1 188,1 188,1 188,1 188,1 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-12 1 1 189,05 189,05 189,05 189,05 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-13 1 1 189,73 189,73 189,73 189,73 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-14 1 1 189,14 189,14 189,14 189,14 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-15 1 1 188,65 188,65 188,65 188,65 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-18 1 1 188,79 188,79 188,79 188,79 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-19 1 1 188,43 188,43 188,43 188,43 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-20 1 1 188,38 188,38 188,38 188,38 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-21 1 1 189,52 189,52 189,52 189,52 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-22 1 1 190,46 190,46 190,46 190,46 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-25 1 1 190,55 190,55 190,55 190,55 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-26 1 1 190,67 190,67 190,67 190,67 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-27 1 1 191,46 191,46 191,46 191,46 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-28 1 1 192,31 192,31 192,31 192,31 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-07-29 1 1 192,4 192,4 192,4 192,4 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-01 1 1 193,56 193,56 193,56 193,56 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-02 1 1 193,64 193,64 193,64 193,64 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-03 1 1 194,68 194,68 194,68 194,68 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-04 1 1 193,54 193,54 193,54 193,54 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-05 1 1 193,53 193,53 193,53 193,53 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-08 1 1 195,96 195,96 195,96 195,96 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-09 1 1 197,95 197,95 197,95 197,95 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-10 1 1 199,2 199,2 199,2 199,2 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-11 1 1 197,11 197,11 197,11 197,11 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-12 1 1 197,54 197,54 197,54 197,54 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-15 1 1 197,74 197,74 197,74 197,74 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-16 1 1 198,74 198,74 198,74 198,74 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-17 1 1 198,3 198,3 198,3 198,3 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-18 1 1 198,2 198,2 198,2 198,2 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-19 1 1 199,53 199,53 199,53 199,53 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-22 1 1 199,89 199,89 199,89 199,89 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-23 1 1 199,9 199,9 199,9 199,9 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-24 1 1 196,92 196,92 196,92 196,92 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-25 1 1 195,66 195,66 195,66 195,66 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-26 1 1 196,6 196,6 196,6 196,6 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-29 1 1 196,19 196,19 196,19 196,19 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-30 1 1 197,59 197,59 197,59 197,59 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-08-31 1 1 199,08 199,08 199,08 199,08 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-01 1 1 200,99 200,99 200,99 200,99 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-02 1 1 200,12 200,12 200,12 200,12 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-05 1 1 200,92 200,92 200,92 200,92 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-06 1 1 202,15 202,15 202,15 202,15 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-07 1 1 203,44 203,44 203,44 203,44 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-08 1 1 203,6 203,6 203,6 203,6 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-09 1 1 204,59 204,59 204,59 204,59 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-12 1 1 204,45 204,45 204,45 204,45 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-13 1 1 203,7 203,7 203,7 203,7 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-14 1 1 203,62 203,62 203,62 203,62 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-15 1 1 204,38 204,38 204,38 204,38 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-16 1 1 204,89 204,89 204,89 204,89 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-19 1 1 205,83 205,83 205,83 205,83 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-20 1 1 204,83 204,83 204,83 204,83 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-21 1 1 204,32 204,32 204,32 204,32 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-22 1 1 203,88 203,88 203,88 203,88 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-23 1 1 204,77 204,77 204,77 204,77 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-26 1 1 205,99 205,99 205,99 205,99 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-27 1 1 206,87 206,87 206,87 206,87 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-28 1 1 207,47 207,47 207,47 207,47 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-29 1 1 207,6 207,6 207,6 207,6 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-09-30 1 1 208,42 208,42 208,42 208,42 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-03 1 1 209,25 209,25 209,25 209,25 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-04 1 1 210,07 210,07 210,07 210,07 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-05 1 1 209,28 209,28 209,28 209,28 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-06 1 1 206,42 206,42 206,42 206,42 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-07 1 1 206,81 206,81 206,81 206,81 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-10 1 1 208,57 208,57 208,57 208,57 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-11 1 1 209,1 209,1 209,1 209,1 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-12 1 1 208,07 208,07 208,07 208,07 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-13 1 1 203,99 203,99 203,99 203,99 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-14 1 1 203,03 203,03 203,03 203,03 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-17 1 1 203,05 203,05 203,05 203,05 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-18 1 1 203,42 203,42 203,42 203,42 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-19 1 1 198,63 198,63 198,63 198,63 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-20 1 1 199,89 199,89 199,89 199,89 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-21 1 1 196,2 196,2 196,2 196,2 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-24 1 1 199,25 199,25 199,25 199,25 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-25 1 1 201,37 201,37 201,37 201,37 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-26 1 1 201,33 201,33 201,33 201,33 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-27 1 1 201,36 201,36 201,36 201,36 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-28 1 1 200,89 200,89 200,89 200,89 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-10-31 1 1 203,7 203,7 203,7 203,7 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-01 1 1 204,96 204,96 204,96 204,96 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-02 1 1 206,23 206,23 206,23 206,23 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-03 1 1 208,3 208,3 208,3 208,3 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-04 1 1 208,54 208,54 208,54 208,54 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-07 1 1 208,77 208,77 208,77 208,77 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-08 1 1 208,44 208,44 208,44 208,44 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-09 1 1 208,81 208,81 208,81 208,81 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-10 1 1 210,22 210,22 210,22 210,22 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-11 1 1 210,62 210,62 210,62 210,62 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-14 1 1 211,27 211,27 211,27 211,27 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-15 1 1 211,33 211,33 211,33 211,33 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-16 1 1 210,81 210,81 210,81 210,81 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-17 1 1 211,53 211,53 211,53 211,53 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-18 1 1 212,66 212,66 212,66 212,66 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-21 1 1 210,94 210,94 210,94 210,94 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-22 1 1 211,93 211,93 211,93 211,93 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-23 1 1 211,87 211,87 211,87 211,87 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-24 1 1 211,85 211,85 211,85 211,85 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-25 1 1 212,7 212,7 212,7 212,7 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-28 1 1 213,03 213,03 213,03 213,03 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-29 1 1 213,39 213,39 213,39 213,39 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-11-30 1 1 212,76 212,76 212,76 212,76 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-01 1 1 214,54 214,54 214,54 214,54 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-02 1 1 215,7 215,7 215,7 215,7 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-05 1 1 215,96 215,96 215,96 215,96 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-06 1 1 215,97 215,97 215,97 215,97 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-07 1 1 217,05 217,05 217,05 217,05 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-08 1 1 216,56 216,56 216,56 216,56 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-12 1 1 218,28 218,28 218,28 218,28 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-13 1 1 218,6 218,6 218,6 218,6 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-14 1 1 217,82 217,82 217,82 217,82 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-15 1 1 217,89 217,89 217,89 217,89 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-16 1 1 218,88 218,88 218,88 218,88 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-19 1 1 219,84 219,84 219,84 219,84 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-20 1 1 220,22 220,22 220,22 220,22 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-21 1 1 221,95 221,95 221,95 221,95 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-22 1 1 223,28 223,28 223,28 223,28 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-23 1 1 224,48 224,48 224,48 224,48 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-27 1 1 225,77 225,77 225,77 225,77 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-28 1 1 226,04 226,04 226,04 226,04 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-29 1 1 227,33 227,33 227,33 227,33 103606 Skandia Fonder AB Skandia Småbolag Sverige SEK 2005-12-30 1 1 227,33 227,33 227,33 227,33 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-03 1 1 499,04 499,04 499,04 499,04 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-04 1 1 501,16 501,16 501,16 501,16 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-05 1 1 497,31 497,31 497,31 497,31 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-07 1 1 498 498 498 498 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-10 1 1 503,5 503,5 503,5 503,5 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-11 1 1 500,8 500,8 500,8 500,8 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-12 1 1 492,53 492,53 492,53 492,53 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-13 1 1 492,7 492,7 492,7 492,7 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-14 1 1 495,44 495,44 495,44 495,44 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-17 1 1 499,56 499,56 499,56 499,56 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-18 1 1 495,62 495,62 495,62 495,62 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-19 1 1 499,24 499,24 499,24 499,24 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-20 1 1 493,76 493,76 493,76 493,76 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-21 1 1 492,89 492,89 492,89 492,89 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-24 1 1 487,12 487,12 487,12 487,12 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-25 1 1 492,71 492,71 492,71 492,71 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-26 1 1 493,52 493,52 493,52 493,52 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-27 1 1 496,74 496,74 496,74 496,74 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-28 1 1 495,6 495,6 495,6 495,6 690289 Skandia Fonder AB Skandia Sverige SEK 2005-01-31 1 1 499,07 499,07 499,07 499,07 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-01 1 1 500,15 500,15 500,15 500,15 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-02 1 1 503,8 503,8 503,8 503,8 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-03 1 1 503,99 503,99 503,99 503,99 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-04 1 1 508,32 508,32 508,32 508,32 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-07 1 1 512,95 512,95 512,95 512,95 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-08 1 1 514,46 514,46 514,46 514,46 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-09 1 1 516,6 516,6 516,6 516,6 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-10 1 1 511,71 511,71 511,71 511,71 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-11 1 1 514,57 514,57 514,57 514,57 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-14 1 1 517,4 517,4 517,4 517,4 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-15 1 1 517,44 517,44 517,44 517,44 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-16 1 1 513,56 513,56 513,56 513,56 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-17 1 1 517,61 517,61 517,61 517,61 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-18 1 1 512,71 512,71 512,71 512,71 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-21 1 1 515,21 515,21 515,21 515,21 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-22 1 1 509,84 509,84 509,84 509,84 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-23 1 1 513,01 513,01 513,01 513,01 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-24 1 1 514,54 514,54 514,54 514,54 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-25 1 1 518,1 518,1 518,1 518,1 690289 Skandia Fonder AB Skandia Sverige SEK 2005-02-28 1 1 520,07 520,07 520,07 520,07 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-01 1 1 519,76 519,76 519,76 519,76 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-02 1 1 520,17 520,17 520,17 520,17 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-03 1 1 524,96 524,96 524,96 524,96 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-04 1 1 526,57 526,57 526,57 526,57 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-07 1 1 527,49 527,49 527,49 527,49 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-08 1 1 524,57 524,57 524,57 524,57 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-09 1 1 522,65 522,65 522,65 522,65 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-10 1 1 519,16 519,16 519,16 519,16 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-11 1 1 521,02 521,02 521,02 521,02 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-14 1 1 521,04 521,04 521,04 521,04 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-15 1 1 524,56 524,56 524,56 524,56 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-16 1 1 519,27 519,27 519,27 519,27 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-17 1 1 517,3 517,3 517,3 517,3 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-18 1 1 518,51 518,51 518,51 518,51 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-21 1 1 517,13 517,13 517,13 517,13 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-22 1 1 519,17 519,17 519,17 519,17 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-23 1 1 516,57 516,57 516,57 516,57 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-24 1 1 521,09 521,09 521,09 521,09 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-29 1 1 521,02 521,02 521,02 521,02 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-30 1 1 517,6 517,6 517,6 517,6 690289 Skandia Fonder AB Skandia Sverige SEK 2005-03-31 1 1 520,82 520,82 520,82 520,82 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-01 1 1 522,69 522,69 522,69 522,69 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-04 1 1 522,59 522,59 522,59 522,59 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-05 1 1 527,38 527,38 527,38 527,38 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-06 1 1 531,2 531,2 531,2 531,2 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-07 1 1 531,62 531,62 531,62 531,62 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-08 1 1 534,89 534,89 534,89 534,89 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-11 1 1 536,75 536,75 536,75 536,75 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-12 1 1 534,77 534,77 534,77 534,77 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-13 1 1 539,03 539,03 539,03 539,03 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-14 1 1 542,05 542,05 542,05 542,05 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-15 1 1 534,57 534,57 534,57 534,57 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-18 1 1 524,67 524,67 524,67 524,67 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-19 1 1 528,49 528,49 528,49 528,49 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-20 1 1 529,06 529,06 529,06 529,06 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-21 1 1 529,16 529,16 529,16 529,16 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-22 1 1 534,03 534,03 534,03 534,03 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-25 1 1 533,29 533,29 533,29 533,29 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-26 1 1 528,39 528,39 528,39 528,39 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-27 1 1 518,86 518,86 518,86 518,86 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-28 1 1 511,34 511,34 511,34 511,34 690289 Skandia Fonder AB Skandia Sverige SEK 2005-04-29 1 1 515,88 515,88 515,88 515,88 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-02 1 1 519,75 519,75 519,75 519,75 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-03 1 1 519,03 519,03 519,03 519,03 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-04 1 1 519,89 519,89 519,89 519,89 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-06 1 1 526,27 526,27 526,27 526,27 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-09 1 1 527,45 527,45 527,45 527,45 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-10 1 1 523,46 523,46 523,46 523,46 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-11 1 1 523,7 523,7 523,7 523,7 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-12 1 1 526,78 526,78 526,78 526,78 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-13 1 1 528,77 528,77 528,77 528,77 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-16 1 1 529,66 529,66 529,66 529,66 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-17 1 1 531,95 531,95 531,95 531,95 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-18 1 1 536,06 536,06 536,06 536,06 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-19 1 1 538,06 538,06 538,06 538,06 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-20 1 1 537,71 537,71 537,71 537,71 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-23 1 1 537,64 537,64 537,64 537,64 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-24 1 1 538,3 538,3 538,3 538,3 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-25 1 1 540,66 540,66 540,66 540,66 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-26 1 1 543,44 543,44 543,44 543,44 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-27 1 1 544,38 544,38 544,38 544,38 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-30 1 1 545,23 545,23 545,23 545,23 690289 Skandia Fonder AB Skandia Sverige SEK 2005-05-31 1 1 546,67 546,67 546,67 546,67 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-01 1 1 545,98 545,98 545,98 545,98 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-02 1 1 544,02 544,02 544,02 544,02 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-03 1 1 542,58 542,58 542,58 542,58 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-07 1 1 543,72 543,72 543,72 543,72 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-08 1 1 547,84 547,84 547,84 547,84 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-09 1 1 547,31 547,31 547,31 547,31 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-10 1 1 550,53 550,53 550,53 550,53 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-13 1 1 550,65 550,65 550,65 550,65 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-14 1 1 554,04 554,04 554,04 554,04 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-15 1 1 555,27 555,27 555,27 555,27 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-16 1 1 554,97 554,97 554,97 554,97 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-17 1 1 557,64 557,64 557,64 557,64 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-20 1 1 556,8 556,8 556,8 556,8 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-21 1 1 560,55 560,55 560,55 560,55 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-22 1 1 563,21 563,21 563,21 563,21 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-23 1 1 565,67 565,67 565,67 565,67 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-27 1 1 556,29 556,29 556,29 556,29 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-28 1 1 558,42 558,42 558,42 558,42 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-29 1 1 563,91 563,91 563,91 563,91 690289 Skandia Fonder AB Skandia Sverige SEK 2005-06-30 1 1 565,93 565,93 565,93 565,93 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-01 1 1 567,7 567,7 567,7 567,7 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-04 1 1 571,21 571,21 571,21 571,21 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-05 1 1 570,75 570,75 570,75 570,75 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-06 1 1 572,65 572,65 572,65 572,65 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-07 1 1 560,58 560,58 560,58 560,58 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-08 1 1 570,28 570,28 570,28 570,28 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-11 1 1 578,21 578,21 578,21 578,21 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-12 1 1 580,74 580,74 580,74 580,74 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-13 1 1 584,26 584,26 584,26 584,26 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-14 1 1 586,31 586,31 586,31 586,31 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-15 1 1 585,04 585,04 585,04 585,04 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-18 1 1 584,78 584,78 584,78 584,78 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-19 1 1 584,88 584,88 584,88 584,88 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-20 1 1 582,54 582,54 582,54 582,54 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-21 1 1 587,13 587,13 587,13 587,13 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-22 1 1 589,54 589,54 589,54 589,54 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-25 1 1 586,58 586,58 586,58 586,58 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-26 1 1 589,55 589,55 589,55 589,55 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-27 1 1 590,88 590,88 590,88 590,88 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-28 1 1 594,74 594,74 594,74 594,74 690289 Skandia Fonder AB Skandia Sverige SEK 2005-07-29 1 1 593,73 593,73 593,73 593,73 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-01 1 1 593,63 593,63 593,63 593,63 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-02 1 1 596,47 596,47 596,47 596,47 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-03 1 1 596,52 596,52 596,52 596,52 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-04 1 1 594,46 594,46 594,46 594,46 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-05 1 1 593,54 593,54 593,54 593,54 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-08 1 1 592,97 592,97 592,97 592,97 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-09 1 1 593,62 593,62 593,62 593,62 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-10 1 1 600,46 600,46 600,46 600,46 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-11 1 1 598,17 598,17 598,17 598,17 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-12 1 1 597,65 597,65 597,65 597,65 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-15 1 1 596,52 596,52 596,52 596,52 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-16 1 1 598,02 598,02 598,02 598,02 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-17 1 1 593,63 593,63 593,63 593,63 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-18 1 1 594,39 594,39 594,39 594,39 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-19 1 1 599,45 599,45 599,45 599,45 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-22 1 1 599,19 599,19 599,19 599,19 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-23 1 1 595,47 595,47 595,47 595,47 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-24 1 1 585,28 585,28 585,28 585,28 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-25 1 1 581,41 581,41 581,41 581,41 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-26 1 1 577,32 577,32 577,32 577,32 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-29 1 1 577,52 577,52 577,52 577,52 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-30 1 1 579,98 579,98 579,98 579,98 690289 Skandia Fonder AB Skandia Sverige SEK 2005-08-31 1 1 584,69 584,69 584,69 584,69 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-01 1 1 587,84 587,84 587,84 587,84 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-02 1 1 585,87 585,87 585,87 585,87 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-05 1 1 590,03 590,03 590,03 590,03 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-06 1 1 593,26 593,26 593,26 593,26 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-07 1 1 595,55 595,55 595,55 595,55 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-08 1 1 593,56 593,56 593,56 593,56 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-09 1 1 597,25 597,25 597,25 597,25 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-12 1 1 598,78 598,78 598,78 598,78 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-13 1 1 598,06 598,06 598,06 598,06 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-14 1 1 600,72 600,72 600,72 600,72 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-15 1 1 598,55 598,55 598,55 598,55 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-16 1 1 599,75 599,75 599,75 599,75 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-19 1 1 601,43 601,43 601,43 601,43 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-20 1 1 599,61 599,61 599,61 599,61 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-21 1 1 595,64 595,64 595,64 595,64 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-22 1 1 594,22 594,22 594,22 594,22 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-23 1 1 596,31 596,31 596,31 596,31 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-26 1 1 603,2 603,2 603,2 603,2 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-27 1 1 605,85 605,85 605,85 605,85 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-28 1 1 609,07 609,07 609,07 609,07 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-29 1 1 610,55 610,55 610,55 610,55 690289 Skandia Fonder AB Skandia Sverige SEK 2005-09-30 1 1 614,76 614,76 614,76 614,76 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-03 1 1 618,86 618,86 618,86 618,86 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-04 1 1 619,61 619,61 619,61 619,61 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-05 1 1 614,53 614,53 614,53 614,53 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-06 1 1 608,13 608,13 608,13 608,13 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-07 1 1 608,73 608,73 608,73 608,73 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-10 1 1 611,75 611,75 611,75 611,75 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-11 1 1 612,7 612,7 612,7 612,7 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-12 1 1 608,48 608,48 608,48 608,48 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-13 1 1 598,71 598,71 598,71 598,71 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-14 1 1 598,95 598,95 598,95 598,95 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-17 1 1 599,09 599,09 599,09 599,09 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-18 1 1 596,03 596,03 596,03 596,03 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-19 1 1 586,95 586,95 586,95 586,95 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-20 1 1 590,67 590,67 590,67 590,67 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-21 1 1 583,12 583,12 583,12 583,12 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-24 1 1 590,01 590,01 590,01 590,01 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-25 1 1 596,61 596,61 596,61 596,61 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-26 1 1 598,65 598,65 598,65 598,65 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-27 1 1 594,78 594,78 594,78 594,78 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-28 1 1 591,32 591,32 591,32 591,32 690289 Skandia Fonder AB Skandia Sverige SEK 2005-10-31 1 1 604,49 604,49 604,49 604,49 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-01 1 1 606,05 606,05 606,05 606,05 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-02 1 1 607,06 607,06 607,06 607,06 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-03 1 1 615,93 615,93 615,93 615,93 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-04 1 1 615,64 615,64 615,64 615,64 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-07 1 1 618,82 618,82 618,82 618,82 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-08 1 1 617,24 617,24 617,24 617,24 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-09 1 1 617,36 617,36 617,36 617,36 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-10 1 1 620,25 620,25 620,25 620,25 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-11 1 1 624,62 624,62 624,62 624,62 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-14 1 1 627,67 627,67 627,67 627,67 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-15 1 1 624,99 624,99 624,99 624,99 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-16 1 1 625,75 625,75 625,75 625,75 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-17 1 1 628,01 628,01 628,01 628,01 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-18 1 1 631,06 631,06 631,06 631,06 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-21 1 1 621,8 621,8 621,8 621,8 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-22 1 1 623,61 623,61 623,61 623,61 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-23 1 1 623,39 623,39 623,39 623,39 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-24 1 1 622,45 622,45 622,45 622,45 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-25 1 1 625,04 625,04 625,04 625,04 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-28 1 1 627,18 627,18 627,18 627,18 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-29 1 1 626,49 626,49 626,49 626,49 690289 Skandia Fonder AB Skandia Sverige SEK 2005-11-30 1 1 621,6 621,6 621,6 621,6 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-01 1 1 627,94 627,94 627,94 627,94 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-02 1 1 633,91 633,91 633,91 633,91 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-05 1 1 633,85 633,85 633,85 633,85 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-06 1 1 636,37 636,37 636,37 636,37 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-07 1 1 636,91 636,91 636,91 636,91 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-08 1 1 638,21 638,21 638,21 638,21 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-12 1 1 641,1 641,1 641,1 641,1 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-13 1 1 639,87 639,87 639,87 639,87 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-14 1 1 638,08 638,08 638,08 638,08 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-15 1 1 637,92 637,92 637,92 637,92 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-16 1 1 639,73 639,73 639,73 639,73 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-19 1 1 642,67 642,67 642,67 642,67 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-20 1 1 641,84 641,84 641,84 641,84 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-21 1 1 646,21 646,21 646,21 646,21 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-22 1 1 648,12 648,12 648,12 648,12 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-23 1 1 653,63 653,63 653,63 653,63 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-27 1 1 657,36 657,36 657,36 657,36 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-28 1 1 656,03 656,03 656,03 656,03 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-29 1 1 658,81 658,81 658,81 658,81 690289 Skandia Fonder AB Skandia Sverige SEK 2005-12-30 1 1 656,81 656,81 656,81 656,81 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-03 1 1 55,96 55,96 55,96 55,96 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-04 1 1 55,98 55,98 55,98 55,98 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-05 1 1 55,56 55,56 55,56 55,56 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-07 1 1 55,57 55,57 55,57 55,57 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-10 1 1 55,83 55,83 55,83 55,83 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-11 1 1 55,33 55,33 55,33 55,33 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-12 1 1 54,73 54,73 54,73 54,73 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-13 1 1 54,72 54,72 54,72 54,72 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-14 1 1 55,09 55,09 55,09 55,09 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-18 1 1 55,17 55,17 55,17 55,17 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-19 1 1 55,46 55,46 55,46 55,46 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-20 1 1 54,84 54,84 54,84 54,84 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-21 1 1 55,08 55,08 55,08 55,08 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-24 1 1 54,48 54,48 54,48 54,48 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-25 1 1 54,59 54,59 54,59 54,59 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-26 1 1 54,89 54,89 54,89 54,89 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-27 1 1 54,94 54,94 54,94 54,94 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-28 1 1 55,43 55,43 55,43 55,43 439471 Skandia Fonder AB Skandia Time Global SEK 2005-01-31 1 1 55,82 55,82 55,82 55,82 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-01 1 1 55,63 55,63 55,63 55,63 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-02 1 1 55,76 55,76 55,76 55,76 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-03 1 1 56,01 56,01 56,01 56,01 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-04 1 1 56,21 56,21 56,21 56,21 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-07 1 1 57,22 57,22 57,22 57,22 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-08 1 1 57,66 57,66 57,66 57,66 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-09 1 1 57,46 57,46 57,46 57,46 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-10 1 1 56,82 56,82 56,82 56,82 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-11 1 1 56,56 56,56 56,56 56,56 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-14 1 1 56,91 56,91 56,91 56,91 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-15 1 1 56,73 56,73 56,73 56,73 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-16 1 1 56,54 56,54 56,54 56,54 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-17 1 1 56,85 56,85 56,85 56,85 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-18 1 1 56,23 56,23 56,23 56,23 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-22 1 1 55,34 55,34 55,34 55,34 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-23 1 1 55,24 55,24 55,24 55,24 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-24 1 1 54,98 54,98 54,98 54,98 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-25 1 1 55,57 55,57 55,57 55,57 439471 Skandia Fonder AB Skandia Time Global SEK 2005-02-28 1 1 55,29 55,29 55,29 55,29 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-01 1 1 55,45 55,45 55,45 55,45 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-02 1 1 55,89 55,89 55,89 55,89 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-03 1 1 56,06 56,06 56,06 56,06 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-04 1 1 55,71 55,71 55,71 55,71 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-07 1 1 55,93 55,93 55,93 55,93 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-08 1 1 55,9 55,9 55,9 55,9 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-09 1 1 55,39 55,39 55,39 55,39 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-10 1 1 54,92 54,92 54,92 54,92 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-11 1 1 54,85 54,85 54,85 54,85 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-14 1 1 54,72 54,72 54,72 54,72 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-15 1 1 55,32 55,32 55,32 55,32 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-16 1 1 54,38 54,38 54,38 54,38 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-17 1 1 54,3 54,3 54,3 54,3 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-18 1 1 54,77 54,77 54,77 54,77 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-21 1 1 55,01 55,01 55,01 55,01 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-22 1 1 55,01 55,01 55,01 55,01 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-23 1 1 55,13 55,13 55,13 55,13 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-24 1 1 55,31 55,31 55,31 55,31 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-29 1 1 55,65 55,65 55,65 55,65 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-30 1 1 55,33 55,33 55,33 55,33 439471 Skandia Fonder AB Skandia Time Global SEK 2005-03-31 1 1 56,14 56,14 56,14 56,14 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-01 1 1 56,02 56,02 56,02 56,02 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-04 1 1 56,25 56,25 56,25 56,25 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-05 1 1 56,47 56,47 56,47 56,47 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-06 1 1 56,14 56,14 56,14 56,14 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-07 1 1 55,85 55,85 55,85 55,85 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-08 1 1 56,71 56,71 56,71 56,71 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-11 1 1 56 56 56 56 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-12 1 1 55,62 55,62 55,62 55,62 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-13 1 1 56,27 56,27 56,27 56,27 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-14 1 1 56,2 56,2 56,2 56,2 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-15 1 1 54,97 54,97 54,97 54,97 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-18 1 1 53,65 53,65 53,65 53,65 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-19 1 1 54,18 54,18 54,18 54,18 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-20 1 1 54,26 54,26 54,26 54,26 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-21 1 1 54,01 54,01 54,01 54,01 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-22 1 1 54,22 54,22 54,22 54,22 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-25 1 1 54,29 54,29 54,29 54,29 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-26 1 1 53,92 53,92 53,92 53,92 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-27 1 1 53,09 53,09 53,09 53,09 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-28 1 1 53,32 53,32 53,32 53,32 439471 Skandia Fonder AB Skandia Time Global SEK 2005-04-29 1 1 53,4 53,4 53,4 53,4 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-02 1 1 54,12 54,12 54,12 54,12 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-03 1 1 54,07 54,07 54,07 54,07 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-04 1 1 53,61 53,61 53,61 53,61 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-06 1 1 54,82 54,82 54,82 54,82 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-09 1 1 54,86 54,86 54,86 54,86 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-10 1 1 54,66 54,66 54,66 54,66 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-11 1 1 54,73 54,73 54,73 54,73 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-12 1 1 55,21 55,21 55,21 55,21 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-13 1 1 55,57 55,57 55,57 55,57 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-16 1 1 55,87 55,87 55,87 55,87 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-17 1 1 55,88 55,88 55,88 55,88 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-18 1 1 56,41 56,41 56,41 56,41 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-19 1 1 57,12 57,12 57,12 57,12 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-20 1 1 57,48 57,48 57,48 57,48 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-23 1 1 57,74 57,74 57,74 57,74 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-24 1 1 57,24 57,24 57,24 57,24 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-25 1 1 57,21 57,21 57,21 57,21 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-26 1 1 57,62 57,62 57,62 57,62 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-27 1 1 57,71 57,71 57,71 57,71 439471 Skandia Fonder AB Skandia Time Global SEK 2005-05-31 1 1 58,48 58,48 58,48 58,48 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-01 1 1 58,66 58,66 58,66 58,66 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-02 1 1 59,06 59,06 59,06 59,06 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-03 1 1 58,73 58,73 58,73 58,73 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-07 1 1 58,45 58,45 58,45 58,45 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-08 1 1 58,68 58,68 58,68 58,68 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-09 1 1 58,75 58,75 58,75 58,75 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-10 1 1 59,39 59,39 59,39 59,39 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-13 1 1 59,97 59,97 59,97 59,97 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-14 1 1 60,2 60,2 60,2 60,2 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-15 1 1 60,09 60,09 60,09 60,09 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-16 1 1 60,2 60,2 60,2 60,2 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-17 1 1 59,95 59,95 59,95 59,95 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-20 1 1 59,62 59,62 59,62 59,62 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-21 1 1 60,27 60,27 60,27 60,27 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-22 1 1 60,92 60,92 60,92 60,92 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-23 1 1 61,5 61,5 61,5 61,5 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-27 1 1 59,86 59,86 59,86 59,86 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-28 1 1 59,99 59,99 59,99 59,99 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-29 1 1 61,28 61,28 61,28 61,28 439471 Skandia Fonder AB Skandia Time Global SEK 2005-06-30 1 1 61,15 61,15 61,15 61,15 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-01 1 1 61,08 61,08 61,08 61,08 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-05 1 1 61,11 61,11 61,11 61,11 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-06 1 1 61,24 61,24 61,24 61,24 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-07 1 1 60,62 60,62 60,62 60,62 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-08 1 1 61,39 61,39 61,39 61,39 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-11 1 1 62,42 62,42 62,42 62,42 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-12 1 1 62,08 62,08 62,08 62,08 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-13 1 1 62,18 62,18 62,18 62,18 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-14 1 1 62,85 62,85 62,85 62,85 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-15 1 1 62,59 62,59 62,59 62,59 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-18 1 1 62,24 62,24 62,24 62,24 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-19 1 1 62,93 62,93 62,93 62,93 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-20 1 1 62,54 62,54 62,54 62,54 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-21 1 1 62,84 62,84 62,84 62,84 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-22 1 1 62,57 62,57 62,57 62,57 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-25 1 1 62,82 62,82 62,82 62,82 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-26 1 1 63,51 63,51 63,51 63,51 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-27 1 1 63,53 63,53 63,53 63,53 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-28 1 1 63,54 63,54 63,54 63,54 439471 Skandia Fonder AB Skandia Time Global SEK 2005-07-29 1 1 63,31 63,31 63,31 63,31 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-01 1 1 62,68 62,68 62,68 62,68 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-02 1 1 62,64 62,64 62,64 62,64 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-03 1 1 62,56 62,56 62,56 62,56 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-04 1 1 62,15 62,15 62,15 62,15 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-05 1 1 61,91 61,91 61,91 61,91 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-08 1 1 61,88 61,88 61,88 61,88 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-09 1 1 62,23 62,23 62,23 62,23 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-10 1 1 62,61 62,61 62,61 62,61 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-11 1 1 61,89 61,89 61,89 61,89 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-12 1 1 61,77 61,77 61,77 61,77 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-15 1 1 62,17 62,17 62,17 62,17 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-16 1 1 62,67 62,67 62,67 62,67 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-17 1 1 62,24 62,24 62,24 62,24 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-18 1 1 62,68 62,68 62,68 62,68 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-19 1 1 63,06 63,06 63,06 63,06 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-22 1 1 63,23 63,23 63,23 63,23 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-23 1 1 62,89 62,89 62,89 62,89 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-24 1 1 62,21 62,21 62,21 62,21 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-25 1 1 61,96 61,96 61,96 61,96 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-26 1 1 61,56 61,56 61,56 61,56 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-29 1 1 61,43 61,43 61,43 61,43 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-30 1 1 61,91 61,91 61,91 61,91 439471 Skandia Fonder AB Skandia Time Global SEK 2005-08-31 1 1 61,95 61,95 61,95 61,95 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-01 1 1 61,59 61,59 61,59 61,59 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-02 1 1 60,8 60,8 60,8 60,8 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-06 1 1 61,29 61,29 61,29 61,29 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-07 1 1 61,85 61,85 61,85 61,85 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-08 1 1 62,38 62,38 62,38 62,38 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-09 1 1 62,52 62,52 62,52 62,52 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-12 1 1 63,13 63,13 63,13 63,13 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-13 1 1 63,31 63,31 63,31 63,31 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-14 1 1 63,28 63,28 63,28 63,28 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-15 1 1 63,21 63,21 63,21 63,21 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-16 1 1 63,21 63,21 63,21 63,21 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-19 1 1 63,54 63,54 63,54 63,54 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-20 1 1 63,5 63,5 63,5 63,5 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-21 1 1 62,55 62,55 62,55 62,55 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-22 1 1 62,04 62,04 62,04 62,04 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-23 1 1 62,44 62,44 62,44 62,44 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-26 1 1 63,42 63,42 63,42 63,42 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-27 1 1 63,4 63,4 63,4 63,4 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-28 1 1 63,38 63,38 63,38 63,38 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-29 1 1 63,05 63,05 63,05 63,05 439471 Skandia Fonder AB Skandia Time Global SEK 2005-09-30 1 1 63,41 63,41 63,41 63,41 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-03 1 1 64,23 64,23 64,23 64,23 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-04 1 1 64,64 64,64 64,64 64,64 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-05 1 1 63,88 63,88 63,88 63,88 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-06 1 1 62,23 62,23 62,23 62,23 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-07 1 1 62,45 62,45 62,45 62,45 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-10 1 1 62,2 62,2 62,2 62,2 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-11 1 1 62,21 62,21 62,21 62,21 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-12 1 1 61,52 61,52 61,52 61,52 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-13 1 1 61,3 61,3 61,3 61,3 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-14 1 1 61,67 61,67 61,67 61,67 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-17 1 1 62,01 62,01 62,01 62,01 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-18 1 1 62,03 62,03 62,03 62,03 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-19 1 1 61,35 61,35 61,35 61,35 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-20 1 1 62,13 62,13 62,13 62,13 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-21 1 1 61,6 61,6 61,6 61,6 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-24 1 1 62,41 62,41 62,41 62,41 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-25 1 1 62,13 62,13 62,13 62,13 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-26 1 1 61,81 61,81 61,81 61,81 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-27 1 1 60,97 60,97 60,97 60,97 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-28 1 1 60,84 60,84 60,84 60,84 439471 Skandia Fonder AB Skandia Time Global SEK 2005-10-31 1 1 62,32 62,32 62,32 62,32 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-01 1 1 62,96 62,96 62,96 62,96 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-02 1 1 62,9 62,9 62,9 62,9 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-03 1 1 64 64 64 64 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-04 1 1 63,86 63,86 63,86 63,86 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-07 1 1 64,8 64,8 64,8 64,8 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-08 1 1 64,44 64,44 64,44 64,44 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-09 1 1 64,67 64,67 64,67 64,67 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-10 1 1 65,04 65,04 65,04 65,04 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-11 1 1 65,45 65,45 65,45 65,45 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-14 1 1 65,36 65,36 65,36 65,36 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-15 1 1 65,2 65,2 65,2 65,2 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-16 1 1 65,14 65,14 65,14 65,14 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-17 1 1 65,23 65,23 65,23 65,23 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-18 1 1 65,36 65,36 65,36 65,36 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-21 1 1 64,08 64,08 64,08 64,08 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-22 1 1 64,64 64,64 64,64 64,64 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-23 1 1 64,46 64,46 64,46 64,46 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-25 1 1 64,6 64,6 64,6 64,6 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-28 1 1 64,58 64,58 64,58 64,58 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-29 1 1 64,75 64,75 64,75 64,75 439471 Skandia Fonder AB Skandia Time Global SEK 2005-11-30 1 1 64,7 64,7 64,7 64,7 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-01 1 1 65,4 65,4 65,4 65,4 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-02 1 1 65,38 65,38 65,38 65,38 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-05 1 1 64,94 64,94 64,94 64,94 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-06 1 1 64,57 64,57 64,57 64,57 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-07 1 1 64,82 64,82 64,82 64,82 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-08 1 1 64,71 64,71 64,71 64,71 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-12 1 1 64,38 64,38 64,38 64,38 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-13 1 1 64,29 64,29 64,29 64,29 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-14 1 1 63,94 63,94 63,94 63,94 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-15 1 1 63,9 63,9 63,9 63,9 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-16 1 1 63,93 63,93 63,93 63,93 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-19 1 1 63,58 63,58 63,58 63,58 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-20 1 1 63,43 63,43 63,43 63,43 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-21 1 1 64,22 64,22 64,22 64,22 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-22 1 1 64,48 64,48 64,48 64,48 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-23 1 1 64,92 64,92 64,92 64,92 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-27 1 1 65,17 65,17 65,17 65,17 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-28 1 1 64,06 64,06 64,06 64,06 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-29 1 1 64,48 64,48 64,48 64,48 439471 Skandia Fonder AB Skandia Time Global SEK 2005-12-30 1 1 63,99 63,99 63,99 63,99 511139 Skandia Fonder AB Skandia USA SEK 2005-01-03 1 1 373,87 373,87 373,87 373,87 511139 Skandia Fonder AB Skandia USA SEK 2005-01-04 1 1 374,99 374,99 374,99 374,99 511139 Skandia Fonder AB Skandia USA SEK 2005-01-05 1 1 373,95 373,95 373,95 373,95 511139 Skandia Fonder AB Skandia USA SEK 2005-01-07 1 1 374,15 374,15 374,15 374,15 511139 Skandia Fonder AB Skandia USA SEK 2005-01-10 1 1 377,67 377,67 377,67 377,67 511139 Skandia Fonder AB Skandia USA SEK 2005-01-11 1 1 374,62 374,62 374,62 374,62 511139 Skandia Fonder AB Skandia USA SEK 2005-01-12 1 1 371,32 371,32 371,32 371,32 511139 Skandia Fonder AB Skandia USA SEK 2005-01-13 1 1 373,2 373,2 373,2 373,2 511139 Skandia Fonder AB Skandia USA SEK 2005-01-14 1 1 374,46 374,46 374,46 374,46 511139 Skandia Fonder AB Skandia USA SEK 2005-01-18 1 1 376,77 376,77 376,77 376,77 511139 Skandia Fonder AB Skandia USA SEK 2005-01-19 1 1 379,22 379,22 379,22 379,22 511139 Skandia Fonder AB Skandia USA SEK 2005-01-20 1 1 377,21 377,21 377,21 377,21 511139 Skandia Fonder AB Skandia USA SEK 2005-01-21 1 1 378 378 378 378 511139 Skandia Fonder AB Skandia USA SEK 2005-01-24 1 1 373,01 373,01 373,01 373,01 511139 Skandia Fonder AB Skandia USA SEK 2005-01-25 1 1 375,6 375,6 375,6 375,6 511139 Skandia Fonder AB Skandia USA SEK 2005-01-26 1 1 376,04 376,04 376,04 376,04 511139 Skandia Fonder AB Skandia USA SEK 2005-01-27 1 1 375,12 375,12 375,12 375,12 511139 Skandia Fonder AB Skandia USA SEK 2005-01-28 1 1 377,69 377,69 377,69 377,69 511139 Skandia Fonder AB Skandia USA SEK 2005-01-31 1 1 379,82 379,82 379,82 379,82 511139 Skandia Fonder AB Skandia USA SEK 2005-02-01 1 1 379,85 379,85 379,85 379,85 511139 Skandia Fonder AB Skandia USA SEK 2005-02-02 1 1 381,16 381,16 381,16 381,16 511139 Skandia Fonder AB Skandia USA SEK 2005-02-03 1 1 384,18 384,18 384,18 384,18 511139 Skandia Fonder AB Skandia USA SEK 2005-02-04 1 1 385,35 385,35 385,35 385,35 511139 Skandia Fonder AB Skandia USA SEK 2005-02-07 1 1 391,15 391,15 391,15 391,15 511139 Skandia Fonder AB Skandia USA SEK 2005-02-08 1 1 394,33 394,33 394,33 394,33 511139 Skandia Fonder AB Skandia USA SEK 2005-02-09 1 1 392,09 392,09 392,09 392,09 511139 Skandia Fonder AB Skandia USA SEK 2005-02-10 1 1 389 389 389 389 511139 Skandia Fonder AB Skandia USA SEK 2005-02-11 1 1 387,68 387,68 387,68 387,68 511139 Skandia Fonder AB Skandia USA SEK 2005-02-14 1 1 387,76 387,76 387,76 387,76 511139 Skandia Fonder AB Skandia USA SEK 2005-02-15 1 1 386,71 386,71 386,71 386,71 511139 Skandia Fonder AB Skandia USA SEK 2005-02-16 1 1 386,34 386,34 386,34 386,34 511139 Skandia Fonder AB Skandia USA SEK 2005-02-17 1 1 388,79 388,79 388,79 388,79 511139 Skandia Fonder AB Skandia USA SEK 2005-02-18 1 1 384,91 384,91 384,91 384,91 511139 Skandia Fonder AB Skandia USA SEK 2005-02-22 1 1 379,13 379,13 379,13 379,13 511139 Skandia Fonder AB Skandia USA SEK 2005-02-23 1 1 377,57 377,57 377,57 377,57 511139 Skandia Fonder AB Skandia USA SEK 2005-02-24 1 1 375,47 375,47 375,47 375,47 511139 Skandia Fonder AB Skandia USA SEK 2005-02-25 1 1 380,79 380,79 380,79 380,79 511139 Skandia Fonder AB Skandia USA SEK 2005-02-28 1 1 381,35 381,35 381,35 381,35 511139 Skandia Fonder AB Skandia USA SEK 2005-03-01 1 1 382,17 382,17 382,17 382,17 511139 Skandia Fonder AB Skandia USA SEK 2005-03-02 1 1 385 385 385 385 511139 Skandia Fonder AB Skandia USA SEK 2005-03-03 1 1 386,2 386,2 386,2 386,2 511139 Skandia Fonder AB Skandia USA SEK 2005-03-04 1 1 383,59 383,59 383,59 383,59 511139 Skandia Fonder AB Skandia USA SEK 2005-03-07 1 1 386,54 386,54 386,54 386,54 511139 Skandia Fonder AB Skandia USA SEK 2005-03-08 1 1 383,62 383,62 383,62 383,62 511139 Skandia Fonder AB Skandia USA SEK 2005-03-09 1 1 380,4 380,4 380,4 380,4 511139 Skandia Fonder AB Skandia USA SEK 2005-03-10 1 1 376,46 376,46 376,46 376,46 511139 Skandia Fonder AB Skandia USA SEK 2005-03-11 1 1 376,41 376,41 376,41 376,41 511139 Skandia Fonder AB Skandia USA SEK 2005-03-14 1 1 376,85 376,85 376,85 376,85 511139 Skandia Fonder AB Skandia USA SEK 2005-03-15 1 1 381,51 381,51 381,51 381,51 511139 Skandia Fonder AB Skandia USA SEK 2005-03-16 1 1 373,54 373,54 373,54 373,54 511139 Skandia Fonder AB Skandia USA SEK 2005-03-17 1 1 373,79 373,79 373,79 373,79 511139 Skandia Fonder AB Skandia USA SEK 2005-03-18 1 1 377,48 377,48 377,48 377,48 511139 Skandia Fonder AB Skandia USA SEK 2005-03-21 1 1 380,15 380,15 380,15 380,15 511139 Skandia Fonder AB Skandia USA SEK 2005-03-22 1 1 379,92 379,92 379,92 379,92 511139 Skandia Fonder AB Skandia USA SEK 2005-03-23 1 1 379,28 379,28 379,28 379,28 511139 Skandia Fonder AB Skandia USA SEK 2005-03-24 1 1 381,05 381,05 381,05 381,05 511139 Skandia Fonder AB Skandia USA SEK 2005-03-29 1 1 384,51 384,51 384,51 384,51 511139 Skandia Fonder AB Skandia USA SEK 2005-03-30 1 1 380,97 380,97 380,97 380,97 511139 Skandia Fonder AB Skandia USA SEK 2005-03-31 1 1 386,18 386,18 386,18 386,18 511139 Skandia Fonder AB Skandia USA SEK 2005-04-01 1 1 385,33 385,33 385,33 385,33 511139 Skandia Fonder AB Skandia USA SEK 2005-04-04 1 1 387,79 387,79 387,79 387,79 511139 Skandia Fonder AB Skandia USA SEK 2005-04-05 1 1 391,27 391,27 391,27 391,27 511139 Skandia Fonder AB Skandia USA SEK 2005-04-06 1 1 390,44 390,44 390,44 390,44 511139 Skandia Fonder AB Skandia USA SEK 2005-04-07 1 1 388,55 388,55 388,55 388,55 511139 Skandia Fonder AB Skandia USA SEK 2005-04-08 1 1 394,14 394,14 394,14 394,14 511139 Skandia Fonder AB Skandia USA SEK 2005-04-11 1 1 386,99 386,99 386,99 386,99 511139 Skandia Fonder AB Skandia USA SEK 2005-04-12 1 1 385,99 385,99 385,99 385,99 511139 Skandia Fonder AB Skandia USA SEK 2005-04-13 1 1 389,88 389,88 389,88 389,88 511139 Skandia Fonder AB Skandia USA SEK 2005-04-14 1 1 389,24 389,24 389,24 389,24 511139 Skandia Fonder AB Skandia USA SEK 2005-04-15 1 1 382,2 382,2 382,2 382,2 511139 Skandia Fonder AB Skandia USA SEK 2005-04-18 1 1 373,72 373,72 373,72 373,72 511139 Skandia Fonder AB Skandia USA SEK 2005-04-19 1 1 376,71 376,71 376,71 376,71 511139 Skandia Fonder AB Skandia USA SEK 2005-04-20 1 1 375,56 375,56 375,56 375,56 511139 Skandia Fonder AB Skandia USA SEK 2005-04-21 1 1 372,24 372,24 372,24 372,24 511139 Skandia Fonder AB Skandia USA SEK 2005-04-22 1 1 373,28 373,28 373,28 373,28 511139 Skandia Fonder AB Skandia USA SEK 2005-04-25 1 1 375,83 375,83 375,83 375,83 511139 Skandia Fonder AB Skandia USA SEK 2005-04-26 1 1 375,66 375,66 375,66 375,66 511139 Skandia Fonder AB Skandia USA SEK 2005-04-27 1 1 372,55 372,55 372,55 372,55 511139 Skandia Fonder AB Skandia USA SEK 2005-04-28 1 1 375,37 375,37 375,37 375,37 511139 Skandia Fonder AB Skandia USA SEK 2005-04-29 1 1 374,5 374,5 374,5 374,5 511139 Skandia Fonder AB Skandia USA SEK 2005-05-02 1 1 381,82 381,82 381,82 381,82 511139 Skandia Fonder AB Skandia USA SEK 2005-05-03 1 1 382,35 382,35 382,35 382,35 511139 Skandia Fonder AB Skandia USA SEK 2005-05-04 1 1 377,99 377,99 377,99 377,99 511139 Skandia Fonder AB Skandia USA SEK 2005-05-06 1 1 385,97 385,97 385,97 385,97 511139 Skandia Fonder AB Skandia USA SEK 2005-05-09 1 1 385,17 385,17 385,17 385,17 511139 Skandia Fonder AB Skandia USA SEK 2005-05-10 1 1 384,92 384,92 384,92 384,92 511139 Skandia Fonder AB Skandia USA SEK 2005-05-11 1 1 385,86 385,86 385,86 385,86 511139 Skandia Fonder AB Skandia USA SEK 2005-05-12 1 1 389,79 389,79 389,79 389,79 511139 Skandia Fonder AB Skandia USA SEK 2005-05-13 1 1 388,1 388,1 388,1 388,1 511139 Skandia Fonder AB Skandia USA SEK 2005-05-16 1 1 389,03 389,03 389,03 389,03 511139 Skandia Fonder AB Skandia USA SEK 2005-05-17 1 1 390,75 390,75 390,75 390,75 511139 Skandia Fonder AB Skandia USA SEK 2005-05-18 1 1 396,65 396,65 396,65 396,65 511139 Skandia Fonder AB Skandia USA SEK 2005-05-19 1 1 398,89 398,89 398,89 398,89 511139 Skandia Fonder AB Skandia USA SEK 2005-05-20 1 1 400,78 400,78 400,78 400,78 511139 Skandia Fonder AB Skandia USA SEK 2005-05-23 1 1 401,5 401,5 401,5 401,5 511139 Skandia Fonder AB Skandia USA SEK 2005-05-24 1 1 400,14 400,14 400,14 400,14 511139 Skandia Fonder AB Skandia USA SEK 2005-05-25 1 1 399,71 399,71 399,71 399,71 511139 Skandia Fonder AB Skandia USA SEK 2005-05-26 1 1 403,09 403,09 403,09 403,09 511139 Skandia Fonder AB Skandia USA SEK 2005-05-27 1 1 403,93 403,93 403,93 403,93 511139 Skandia Fonder AB Skandia USA SEK 2005-05-31 1 1 409,62 409,62 409,62 409,62 511139 Skandia Fonder AB Skandia USA SEK 2005-06-01 1 1 411,25 411,25 411,25 411,25 511139 Skandia Fonder AB Skandia USA SEK 2005-06-02 1 1 414,13 414,13 414,13 414,13 511139 Skandia Fonder AB Skandia USA SEK 2005-06-03 1 1 413,24 413,24 413,24 413,24 511139 Skandia Fonder AB Skandia USA SEK 2005-06-07 1 1 413,27 413,27 413,27 413,27 511139 Skandia Fonder AB Skandia USA SEK 2005-06-08 1 1 413,99 413,99 413,99 413,99 511139 Skandia Fonder AB Skandia USA SEK 2005-06-09 1 1 415,01 415,01 415,01 415,01 511139 Skandia Fonder AB Skandia USA SEK 2005-06-10 1 1 420,11 420,11 420,11 420,11 511139 Skandia Fonder AB Skandia USA SEK 2005-06-13 1 1 425,87 425,87 425,87 425,87 511139 Skandia Fonder AB Skandia USA SEK 2005-06-14 1 1 428,18 428,18 428,18 428,18 511139 Skandia Fonder AB Skandia USA SEK 2005-06-15 1 1 427,21 427,21 427,21 427,21 511139 Skandia Fonder AB Skandia USA SEK 2005-06-16 1 1 428,77 428,77 428,77 428,77 511139 Skandia Fonder AB Skandia USA SEK 2005-06-17 1 1 427,19 427,19 427,19 427,19 511139 Skandia Fonder AB Skandia USA SEK 2005-06-20 1 1 425,84 425,84 425,84 425,84 511139 Skandia Fonder AB Skandia USA SEK 2005-06-21 1 1 430,15 430,15 430,15 430,15 511139 Skandia Fonder AB Skandia USA SEK 2005-06-22 1 1 433,14 433,14 433,14 433,14 511139 Skandia Fonder AB Skandia USA SEK 2005-06-23 1 1 437,68 437,68 437,68 437,68 511139 Skandia Fonder AB Skandia USA SEK 2005-06-27 1 1 426,04 426,04 426,04 426,04 511139 Skandia Fonder AB Skandia USA SEK 2005-06-28 1 1 429,47 429,47 429,47 429,47 511139 Skandia Fonder AB Skandia USA SEK 2005-06-29 1 1 436,85 436,85 436,85 436,85 511139 Skandia Fonder AB Skandia USA SEK 2005-06-30 1 1 435,59 435,59 435,59 435,59 511139 Skandia Fonder AB Skandia USA SEK 2005-07-01 1 1 435,53 435,53 435,53 435,53 511139 Skandia Fonder AB Skandia USA SEK 2005-07-05 1 1 439,02 439,02 439,02 439,02 511139 Skandia Fonder AB Skandia USA SEK 2005-07-06 1 1 440,16 440,16 440,16 440,16 511139 Skandia Fonder AB Skandia USA SEK 2005-07-07 1 1 434,67 434,67 434,67 434,67 511139 Skandia Fonder AB Skandia USA SEK 2005-07-08 1 1 440,21 440,21 440,21 440,21 511139 Skandia Fonder AB Skandia USA SEK 2005-07-11 1 1 444,55 444,55 444,55 444,55 511139 Skandia Fonder AB Skandia USA SEK 2005-07-12 1 1 439,44 439,44 439,44 439,44 511139 Skandia Fonder AB Skandia USA SEK 2005-07-13 1 1 440,28 440,28 440,28 440,28 511139 Skandia Fonder AB Skandia USA SEK 2005-07-14 1 1 444,52 444,52 444,52 444,52 511139 Skandia Fonder AB Skandia USA SEK 2005-07-15 1 1 444,17 444,17 444,17 444,17 511139 Skandia Fonder AB Skandia USA SEK 2005-07-18 1 1 441,68 441,68 441,68 441,68 511139 Skandia Fonder AB Skandia USA SEK 2005-07-19 1 1 448,17 448,17 448,17 448,17 511139 Skandia Fonder AB Skandia USA SEK 2005-07-20 1 1 445,24 445,24 445,24 445,24 511139 Skandia Fonder AB Skandia USA SEK 2005-07-21 1 1 447,41 447,41 447,41 447,41 511139 Skandia Fonder AB Skandia USA SEK 2005-07-22 1 1 444,53 444,53 444,53 444,53 511139 Skandia Fonder AB Skandia USA SEK 2005-07-25 1 1 448,48 448,48 448,48 448,48 511139 Skandia Fonder AB Skandia USA SEK 2005-07-26 1 1 452,53 452,53 452,53 452,53 511139 Skandia Fonder AB Skandia USA SEK 2005-07-27 1 1 451,78 451,78 451,78 451,78 511139 Skandia Fonder AB Skandia USA SEK 2005-07-28 1 1 449,97 449,97 449,97 449,97 511139 Skandia Fonder AB Skandia USA SEK 2005-07-29 1 1 449,33 449,33 449,33 449,33 511139 Skandia Fonder AB Skandia USA SEK 2005-08-01 1 1 443,22 443,22 443,22 443,22 511139 Skandia Fonder AB Skandia USA SEK 2005-08-02 1 1 441,95 441,95 441,95 441,95 511139 Skandia Fonder AB Skandia USA SEK 2005-08-03 1 1 440,48 440,48 440,48 440,48 511139 Skandia Fonder AB Skandia USA SEK 2005-08-04 1 1 436,41 436,41 436,41 436,41 511139 Skandia Fonder AB Skandia USA SEK 2005-08-05 1 1 433,77 433,77 433,77 433,77 511139 Skandia Fonder AB Skandia USA SEK 2005-08-08 1 1 432,92 432,92 432,92 432,92 511139 Skandia Fonder AB Skandia USA SEK 2005-08-09 1 1 433,98 433,98 433,98 433,98 511139 Skandia Fonder AB Skandia USA SEK 2005-08-10 1 1 435,72 435,72 435,72 435,72 511139 Skandia Fonder AB Skandia USA SEK 2005-08-11 1 1 430,21 430,21 430,21 430,21 511139 Skandia Fonder AB Skandia USA SEK 2005-08-12 1 1 429,41 429,41 429,41 429,41 511139 Skandia Fonder AB Skandia USA SEK 2005-08-15 1 1 431,05 431,05 431,05 431,05 511139 Skandia Fonder AB Skandia USA SEK 2005-08-16 1 1 434,54 434,54 434,54 434,54 511139 Skandia Fonder AB Skandia USA SEK 2005-08-17 1 1 430,62 430,62 430,62 430,62 511139 Skandia Fonder AB Skandia USA SEK 2005-08-18 1 1 434,95 434,95 434,95 434,95 511139 Skandia Fonder AB Skandia USA SEK 2005-08-19 1 1 437,71 437,71 437,71 437,71 511139 Skandia Fonder AB Skandia USA SEK 2005-08-22 1 1 437,71 437,71 437,71 437,71 511139 Skandia Fonder AB Skandia USA SEK 2005-08-23 1 1 434,52 434,52 434,52 434,52 511139 Skandia Fonder AB Skandia USA SEK 2005-08-24 1 1 430,18 430,18 430,18 430,18 511139 Skandia Fonder AB Skandia USA SEK 2005-08-25 1 1 428,75 428,75 428,75 428,75 511139 Skandia Fonder AB Skandia USA SEK 2005-08-26 1 1 426,42 426,42 426,42 426,42 511139 Skandia Fonder AB Skandia USA SEK 2005-08-29 1 1 424,44 424,44 424,44 424,44 511139 Skandia Fonder AB Skandia USA SEK 2005-08-30 1 1 429,47 429,47 429,47 429,47 511139 Skandia Fonder AB Skandia USA SEK 2005-08-31 1 1 429,88 429,88 429,88 429,88 511139 Skandia Fonder AB Skandia USA SEK 2005-09-01 1 1 427,5 427,5 427,5 427,5 511139 Skandia Fonder AB Skandia USA SEK 2005-09-02 1 1 421,07 421,07 421,07 421,07 511139 Skandia Fonder AB Skandia USA SEK 2005-09-06 1 1 423,2 423,2 423,2 423,2 511139 Skandia Fonder AB Skandia USA SEK 2005-09-07 1 1 428,7 428,7 428,7 428,7 511139 Skandia Fonder AB Skandia USA SEK 2005-09-08 1 1 430,06 430,06 430,06 430,06 511139 Skandia Fonder AB Skandia USA SEK 2005-09-09 1 1 431,19 431,19 431,19 431,19 511139 Skandia Fonder AB Skandia USA SEK 2005-09-12 1 1 435,14 435,14 435,14 435,14 511139 Skandia Fonder AB Skandia USA SEK 2005-09-13 1 1 435,99 435,99 435,99 435,99 511139 Skandia Fonder AB Skandia USA SEK 2005-09-14 1 1 434,05 434,05 434,05 434,05 511139 Skandia Fonder AB Skandia USA SEK 2005-09-15 1 1 435,73 435,73 435,73 435,73 511139 Skandia Fonder AB Skandia USA SEK 2005-09-16 1 1 435,82 435,82 435,82 435,82 511139 Skandia Fonder AB Skandia USA SEK 2005-09-19 1 1 438,85 438,85 438,85 438,85 511139 Skandia Fonder AB Skandia USA SEK 2005-09-20 1 1 437,57 437,57 437,57 437,57 511139 Skandia Fonder AB Skandia USA SEK 2005-09-21 1 1 430,26 430,26 430,26 430,26 511139 Skandia Fonder AB Skandia USA SEK 2005-09-22 1 1 428,2 428,2 428,2 428,2 511139 Skandia Fonder AB Skandia USA SEK 2005-09-23 1 1 433,49 433,49 433,49 433,49 511139 Skandia Fonder AB Skandia USA SEK 2005-09-26 1 1 438,85 438,85 438,85 438,85 511139 Skandia Fonder AB Skandia USA SEK 2005-09-27 1 1 439,73 439,73 439,73 439,73 511139 Skandia Fonder AB Skandia USA SEK 2005-09-28 1 1 439,8 439,8 439,8 439,8 511139 Skandia Fonder AB Skandia USA SEK 2005-09-29 1 1 436,5 436,5 436,5 436,5 511139 Skandia Fonder AB Skandia USA SEK 2005-09-30 1 1 438,63 438,63 438,63 438,63 511139 Skandia Fonder AB Skandia USA SEK 2005-10-03 1 1 443,86 443,86 443,86 443,86 511139 Skandia Fonder AB Skandia USA SEK 2005-10-04 1 1 444,06 444,06 444,06 444,06 511139 Skandia Fonder AB Skandia USA SEK 2005-10-05 1 1 437,5 437,5 437,5 437,5 511139 Skandia Fonder AB Skandia USA SEK 2005-10-06 1 1 425,31 425,31 425,31 425,31 511139 Skandia Fonder AB Skandia USA SEK 2005-10-07 1 1 427,44 427,44 427,44 427,44 511139 Skandia Fonder AB Skandia USA SEK 2005-10-10 1 1 428,58 428,58 428,58 428,58 511139 Skandia Fonder AB Skandia USA SEK 2005-10-11 1 1 428,53 428,53 428,53 428,53 511139 Skandia Fonder AB Skandia USA SEK 2005-10-12 1 1 425,67 425,67 425,67 425,67 511139 Skandia Fonder AB Skandia USA SEK 2005-10-13 1 1 427,04 427,04 427,04 427,04 511139 Skandia Fonder AB Skandia USA SEK 2005-10-14 1 1 427,38 427,38 427,38 427,38 511139 Skandia Fonder AB Skandia USA SEK 2005-10-17 1 1 431,64 431,64 431,64 431,64 511139 Skandia Fonder AB Skandia USA SEK 2005-10-18 1 1 433,95 433,95 433,95 433,95 511139 Skandia Fonder AB Skandia USA SEK 2005-10-19 1 1 429,23 429,23 429,23 429,23 511139 Skandia Fonder AB Skandia USA SEK 2005-10-20 1 1 437,36 437,36 437,36 437,36 511139 Skandia Fonder AB Skandia USA SEK 2005-10-21 1 1 431,87 431,87 431,87 431,87 511139 Skandia Fonder AB Skandia USA SEK 2005-10-24 1 1 439,18 439,18 439,18 439,18 511139 Skandia Fonder AB Skandia USA SEK 2005-10-25 1 1 436,56 436,56 436,56 436,56 511139 Skandia Fonder AB Skandia USA SEK 2005-10-26 1 1 435,16 435,16 435,16 435,16 511139 Skandia Fonder AB Skandia USA SEK 2005-10-27 1 1 429,87 429,87 429,87 429,87 511139 Skandia Fonder AB Skandia USA SEK 2005-10-28 1 1 429,14 429,14 429,14 429,14 511139 Skandia Fonder AB Skandia USA SEK 2005-10-31 1 1 442,56 442,56 442,56 442,56 511139 Skandia Fonder AB Skandia USA SEK 2005-11-01 1 1 443,6 443,6 443,6 443,6 511139 Skandia Fonder AB Skandia USA SEK 2005-11-02 1 1 444,05 444,05 444,05 444,05 511139 Skandia Fonder AB Skandia USA SEK 2005-11-03 1 1 453,12 453,12 453,12 453,12 511139 Skandia Fonder AB Skandia USA SEK 2005-11-04 1 1 453,05 453,05 453,05 453,05 511139 Skandia Fonder AB Skandia USA SEK 2005-11-07 1 1 459,74 459,74 459,74 459,74 511139 Skandia Fonder AB Skandia USA SEK 2005-11-08 1 1 456,84 456,84 456,84 456,84 511139 Skandia Fonder AB Skandia USA SEK 2005-11-09 1 1 459,43 459,43 459,43 459,43 511139 Skandia Fonder AB Skandia USA SEK 2005-11-10 1 1 462,78 462,78 462,78 462,78 511139 Skandia Fonder AB Skandia USA SEK 2005-11-11 1 1 466,21 466,21 466,21 466,21 511139 Skandia Fonder AB Skandia USA SEK 2005-11-14 1 1 466,95 466,95 466,95 466,95 511139 Skandia Fonder AB Skandia USA SEK 2005-11-15 1 1 468,38 468,38 468,38 468,38 511139 Skandia Fonder AB Skandia USA SEK 2005-11-16 1 1 468,44 468,44 468,44 468,44 511139 Skandia Fonder AB Skandia USA SEK 2005-11-17 1 1 468,73 468,73 468,73 468,73 511139 Skandia Fonder AB Skandia USA SEK 2005-11-18 1 1 469,33 469,33 469,33 469,33 511139 Skandia Fonder AB Skandia USA SEK 2005-11-21 1 1 462,9 462,9 462,9 462,9 511139 Skandia Fonder AB Skandia USA SEK 2005-11-22 1 1 469 469 469 469 511139 Skandia Fonder AB Skandia USA SEK 2005-11-23 1 1 465,89 465,89 465,89 465,89 511139 Skandia Fonder AB Skandia USA SEK 2005-11-25 1 1 467,92 467,92 467,92 467,92 511139 Skandia Fonder AB Skandia USA SEK 2005-11-28 1 1 467,04 467,04 467,04 467,04 511139 Skandia Fonder AB Skandia USA SEK 2005-11-29 1 1 466,01 466,01 466,01 466,01 511139 Skandia Fonder AB Skandia USA SEK 2005-11-30 1 1 465,74 465,74 465,74 465,74 511139 Skandia Fonder AB Skandia USA SEK 2005-12-01 1 1 468,67 468,67 468,67 468,67 511139 Skandia Fonder AB Skandia USA SEK 2005-12-02 1 1 469,35 469,35 469,35 469,35 511139 Skandia Fonder AB Skandia USA SEK 2005-12-05 1 1 465,76 465,76 465,76 465,76 511139 Skandia Fonder AB Skandia USA SEK 2005-12-06 1 1 464,01 464,01 464,01 464,01 511139 Skandia Fonder AB Skandia USA SEK 2005-12-07 1 1 464,89 464,89 464,89 464,89 511139 Skandia Fonder AB Skandia USA SEK 2005-12-08 1 1 462,3 462,3 462,3 462,3 511139 Skandia Fonder AB Skandia USA SEK 2005-12-12 1 1 458,92 458,92 458,92 458,92 511139 Skandia Fonder AB Skandia USA SEK 2005-12-13 1 1 458,69 458,69 458,69 458,69 511139 Skandia Fonder AB Skandia USA SEK 2005-12-14 1 1 458,01 458,01 458,01 458,01 511139 Skandia Fonder AB Skandia USA SEK 2005-12-15 1 1 459,72 459,72 459,72 459,72 511139 Skandia Fonder AB Skandia USA SEK 2005-12-16 1 1 460,61 460,61 460,61 460,61 511139 Skandia Fonder AB Skandia USA SEK 2005-12-19 1 1 457,3 457,3 457,3 457,3 511139 Skandia Fonder AB Skandia USA SEK 2005-12-20 1 1 456,16 456,16 456,16 456,16 511139 Skandia Fonder AB Skandia USA SEK 2005-12-21 1 1 463,28 463,28 463,28 463,28 511139 Skandia Fonder AB Skandia USA SEK 2005-12-22 1 1 463,86 463,86 463,86 463,86 511139 Skandia Fonder AB Skandia USA SEK 2005-12-23 1 1 465,72 465,72 465,72 465,72 511139 Skandia Fonder AB Skandia USA SEK 2005-12-27 1 1 467,6 467,6 467,6 467,6 511139 Skandia Fonder AB Skandia USA SEK 2005-12-28 1 1 457,46 457,46 457,46 457,46 511139 Skandia Fonder AB Skandia USA SEK 2005-12-29 1 1 461,26 461,26 461,26 461,26 511139 Skandia Fonder AB Skandia USA SEK 2005-12-30 1 1 457,67 457,67 457,67 457,67 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-03 1 1 221,24 221,24 221,24 221,24 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-04 1 1 222,2 222,2 222,2 222,2 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-05 1 1 221,47 221,47 221,47 221,47 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-07 1 1 221,81 221,81 221,81 221,81 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-10 1 1 223,32 223,32 223,32 223,32 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-11 1 1 221,92 221,92 221,92 221,92 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-12 1 1 220,57 220,57 220,57 220,57 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-13 1 1 221,24 221,24 221,24 221,24 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-14 1 1 222,41 222,41 222,41 222,41 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-18 1 1 223,11 223,11 223,11 223,11 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-19 1 1 224,3 224,3 224,3 224,3 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-20 1 1 222,9 222,9 222,9 222,9 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-21 1 1 223,53 223,53 223,53 223,53 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-24 1 1 221,9 221,9 221,9 221,9 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-25 1 1 223,22 223,22 223,22 223,22 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-26 1 1 224,02 224,02 224,02 224,02 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-27 1 1 223,56 223,56 223,56 223,56 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-28 1 1 224,29 224,29 224,29 224,29 475301 Skandia Fonder AB Skandia Världen SEK 2005-01-31 1 1 225,53 225,53 225,53 225,53 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-01 1 1 225,82 225,82 225,82 225,82 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-02 1 1 226,45 226,45 226,45 226,45 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-03 1 1 227,18 227,18 227,18 227,18 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-04 1 1 228,32 228,32 228,32 228,32 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-07 1 1 231,02 231,02 231,02 231,02 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-08 1 1 232,31 232,31 232,31 232,31 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-09 1 1 231,76 231,76 231,76 231,76 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-10 1 1 231,04 231,04 231,04 231,04 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-11 1 1 230,96 230,96 230,96 230,96 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-14 1 1 231,43 231,43 231,43 231,43 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-15 1 1 231,15 231,15 231,15 231,15 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-16 1 1 230,57 230,57 230,57 230,57 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-17 1 1 231,8 231,8 231,8 231,8 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-18 1 1 230,49 230,49 230,49 230,49 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-22 1 1 227,95 227,95 227,95 227,95 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-23 1 1 226,71 226,71 226,71 226,71 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-24 1 1 225,64 225,64 225,64 225,64 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-25 1 1 228,31 228,31 228,31 228,31 475301 Skandia Fonder AB Skandia Världen SEK 2005-02-28 1 1 228,64 228,64 228,64 228,64 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-01 1 1 229,09 229,09 229,09 229,09 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-02 1 1 230,37 230,37 230,37 230,37 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-03 1 1 230,79 230,79 230,79 230,79 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-04 1 1 230,27 230,27 230,27 230,27 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-07 1 1 231,22 231,22 231,22 231,22 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-08 1 1 230,05 230,05 230,05 230,05 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-09 1 1 228,99 228,99 228,99 228,99 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-10 1 1 227,07 227,07 227,07 227,07 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-11 1 1 226,82 226,82 226,82 226,82 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-14 1 1 226,86 226,86 226,86 226,86 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-15 1 1 229,32 229,32 229,32 229,32 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-16 1 1 225,83 225,83 225,83 225,83 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-17 1 1 225,55 225,55 225,55 225,55 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-18 1 1 227,56 227,56 227,56 227,56 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-21 1 1 228,69 228,69 228,69 228,69 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-22 1 1 228,74 228,74 228,74 228,74 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-23 1 1 227,56 227,56 227,56 227,56 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-24 1 1 228,03 228,03 228,03 228,03 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-29 1 1 229,27 229,27 229,27 229,27 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-30 1 1 227,71 227,71 227,71 227,71 475301 Skandia Fonder AB Skandia Världen SEK 2005-03-31 1 1 230,28 230,28 230,28 230,28 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-01 1 1 230,38 230,38 230,38 230,38 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-04 1 1 230,91 230,91 230,91 230,91 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-05 1 1 232,77 232,77 232,77 232,77 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-06 1 1 232,51 232,51 232,51 232,51 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-07 1 1 232,15 232,15 232,15 232,15 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-08 1 1 234,5 234,5 234,5 234,5 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-11 1 1 231,71 231,71 231,71 231,71 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-12 1 1 230,77 230,77 230,77 230,77 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-13 1 1 232,4 232,4 232,4 232,4 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-14 1 1 231,96 231,96 231,96 231,96 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-15 1 1 228,26 228,26 228,26 228,26 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-18 1 1 222,91 222,91 222,91 222,91 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-19 1 1 225,31 225,31 225,31 225,31 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-20 1 1 224,75 224,75 224,75 224,75 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-21 1 1 223,41 223,41 223,41 223,41 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-22 1 1 224,42 224,42 224,42 224,42 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-25 1 1 225,41 225,41 225,41 225,41 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-26 1 1 224,81 224,81 224,81 224,81 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-27 1 1 223,31 223,31 223,31 223,31 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-28 1 1 224,3 224,3 224,3 224,3 475301 Skandia Fonder AB Skandia Världen SEK 2005-04-29 1 1 224,92 224,92 224,92 224,92 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-02 1 1 228,08 228,08 228,08 228,08 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-03 1 1 228,59 228,59 228,59 228,59 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-04 1 1 226,71 226,71 226,71 226,71 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-06 1 1 230,91 230,91 230,91 230,91 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-09 1 1 230,62 230,62 230,62 230,62 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-10 1 1 230,36 230,36 230,36 230,36 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-11 1 1 230,85 230,85 230,85 230,85 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-12 1 1 232,27 232,27 232,27 232,27 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-13 1 1 231,01 231,01 231,01 231,01 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-16 1 1 230,87 230,87 230,87 230,87 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-17 1 1 231,3 231,3 231,3 231,3 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-18 1 1 234,1 234,1 234,1 234,1 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-19 1 1 235,83 235,83 235,83 235,83 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-20 1 1 236,23 236,23 236,23 236,23 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-23 1 1 236,99 236,99 236,99 236,99 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-24 1 1 236,48 236,48 236,48 236,48 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-25 1 1 236,16 236,16 236,16 236,16 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-26 1 1 238,02 238,02 238,02 238,02 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-27 1 1 238,74 238,74 238,74 238,74 475301 Skandia Fonder AB Skandia Världen SEK 2005-05-31 1 1 241,32 241,32 241,32 241,32 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-01 1 1 241,98 241,98 241,98 241,98 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-02 1 1 243,58 243,58 243,58 243,58 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-03 1 1 243,14 243,14 243,14 243,14 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-07 1 1 243,42 243,42 243,42 243,42 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-08 1 1 244,42 244,42 244,42 244,42 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-09 1 1 244,43 244,43 244,43 244,43 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-10 1 1 247,45 247,45 247,45 247,45 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-13 1 1 249,5 249,5 249,5 249,5 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-14 1 1 251,31 251,31 251,31 251,31 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-15 1 1 250,97 250,97 250,97 250,97 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-16 1 1 251,66 251,66 251,66 251,66 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-17 1 1 251,35 251,35 251,35 251,35 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-20 1 1 250,25 250,25 250,25 250,25 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-21 1 1 252,26 252,26 252,26 252,26 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-22 1 1 254,11 254,11 254,11 254,11 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-23 1 1 256,76 256,76 256,76 256,76 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-27 1 1 251,19 251,19 251,19 251,19 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-28 1 1 253,21 253,21 253,21 253,21 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-29 1 1 256,86 256,86 256,86 256,86 475301 Skandia Fonder AB Skandia Världen SEK 2005-06-30 1 1 256,75 256,75 256,75 256,75 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-01 1 1 256,91 256,91 256,91 256,91 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-05 1 1 258,19 258,19 258,19 258,19 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-06 1 1 258,45 258,45 258,45 258,45 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-07 1 1 255,18 255,18 255,18 255,18 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-08 1 1 258,2 258,2 258,2 258,2 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-11 1 1 260,86 260,86 260,86 260,86 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-12 1 1 258,53 258,53 258,53 258,53 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-13 1 1 258,09 258,09 258,09 258,09 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-14 1 1 260,6 260,6 260,6 260,6 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-15 1 1 260,35 260,35 260,35 260,35 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-18 1 1 259,21 259,21 259,21 259,21 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-19 1 1 262,23 262,23 262,23 262,23 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-20 1 1 260,85 260,85 260,85 260,85 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-21 1 1 262,45 262,45 262,45 262,45 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-22 1 1 261,03 261,03 261,03 261,03 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-25 1 1 261,96 261,96 261,96 261,96 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-26 1 1 263,93 263,93 263,93 263,93 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-27 1 1 263,96 263,96 263,96 263,96 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-28 1 1 263 263 263 263 475301 Skandia Fonder AB Skandia Världen SEK 2005-07-29 1 1 263,3 263,3 263,3 263,3 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-01 1 1 261,12 261,12 261,12 261,12 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-02 1 1 260,87 260,87 260,87 260,87 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-03 1 1 260,49 260,49 260,49 260,49 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-04 1 1 257,79 257,79 257,79 257,79 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-05 1 1 256,31 256,31 256,31 256,31 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-08 1 1 255,95 255,95 255,95 255,95 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-09 1 1 257,1 257,1 257,1 257,1 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-10 1 1 259,15 259,15 259,15 259,15 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-11 1 1 257,58 257,58 257,58 257,58 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-12 1 1 257,57 257,57 257,57 257,57 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-15 1 1 258,06 258,06 258,06 258,06 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-16 1 1 259,63 259,63 259,63 259,63 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-17 1 1 257,79 257,79 257,79 257,79 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-18 1 1 259,14 259,14 259,14 259,14 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-19 1 1 260,68 260,68 260,68 260,68 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-22 1 1 262,06 262,06 262,06 262,06 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-23 1 1 260,28 260,28 260,28 260,28 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-24 1 1 258,15 258,15 258,15 258,15 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-25 1 1 257,32 257,32 257,32 257,32 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-26 1 1 256,32 256,32 256,32 256,32 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-29 1 1 255,04 255,04 255,04 255,04 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-30 1 1 257,3 257,3 257,3 257,3 475301 Skandia Fonder AB Skandia Världen SEK 2005-08-31 1 1 257,77 257,77 257,77 257,77 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-01 1 1 257,81 257,81 257,81 257,81 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-02 1 1 255 255 255 255 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-06 1 1 257,03 257,03 257,03 257,03 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-07 1 1 259,28 259,28 259,28 259,28 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-08 1 1 259,54 259,54 259,54 259,54 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-09 1 1 260,83 260,83 260,83 260,83 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-12 1 1 262,58 262,58 262,58 262,58 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-13 1 1 263,21 263,21 263,21 263,21 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-14 1 1 262,96 262,96 262,96 262,96 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-15 1 1 264,27 264,27 264,27 264,27 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-16 1 1 264,69 264,69 264,69 264,69 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-19 1 1 265,67 265,67 265,67 265,67 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-20 1 1 266 266 266 266 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-21 1 1 263,09 263,09 263,09 263,09 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-22 1 1 262,12 262,12 262,12 262,12 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-23 1 1 264,39 264,39 264,39 264,39 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-26 1 1 267,6 267,6 267,6 267,6 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-27 1 1 268,19 268,19 268,19 268,19 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-28 1 1 269,27 269,27 269,27 269,27 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-29 1 1 268,8 268,8 268,8 268,8 475301 Skandia Fonder AB Skandia Världen SEK 2005-09-30 1 1 268,64 268,64 268,64 268,64 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-03 1 1 270,87 270,87 270,87 270,87 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-04 1 1 271,1 271,1 271,1 271,1 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-05 1 1 268,13 268,13 268,13 268,13 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-06 1 1 261,2 261,2 261,2 261,2 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-07 1 1 262,39 262,39 262,39 262,39 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-10 1 1 263,16 263,16 263,16 263,16 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-11 1 1 263,72 263,72 263,72 263,72 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-12 1 1 262,78 262,78 262,78 262,78 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-13 1 1 262,48 262,48 262,48 262,48 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-14 1 1 262,45 262,45 262,45 262,45 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-17 1 1 264,18 264,18 264,18 264,18 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-18 1 1 264,46 264,46 264,46 264,46 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-19 1 1 261,07 261,07 261,07 261,07 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-20 1 1 264,35 264,35 264,35 264,35 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-21 1 1 261,75 261,75 261,75 261,75 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-24 1 1 265,7 265,7 265,7 265,7 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-25 1 1 264,56 264,56 264,56 264,56 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-26 1 1 264,21 264,21 264,21 264,21 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-27 1 1 262,23 262,23 262,23 262,23 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-28 1 1 261,82 261,82 261,82 261,82 475301 Skandia Fonder AB Skandia Världen SEK 2005-10-31 1 1 268,59 268,59 268,59 268,59 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-01 1 1 270,31 270,31 270,31 270,31 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-02 1 1 270,7 270,7 270,7 270,7 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-03 1 1 275,02 275,02 275,02 275,02 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-04 1 1 275,55 275,55 275,55 275,55 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-07 1 1 278,59 278,59 278,59 278,59 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-08 1 1 277,07 277,07 277,07 277,07 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-09 1 1 278,16 278,16 278,16 278,16 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-10 1 1 279,98 279,98 279,98 279,98 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-11 1 1 280,92 280,92 280,92 280,92 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-14 1 1 281,14 281,14 281,14 281,14 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-15 1 1 281,99 281,99 281,99 281,99 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-16 1 1 282,1 282,1 282,1 282,1 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-17 1 1 283,22 283,22 283,22 283,22 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-18 1 1 283,46 283,46 283,46 283,46 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-21 1 1 278,91 278,91 278,91 278,91 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-22 1 1 281,57 281,57 281,57 281,57 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-23 1 1 280,24 280,24 280,24 280,24 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-25 1 1 280,45 280,45 280,45 280,45 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-28 1 1 280,42 280,42 280,42 280,42 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-29 1 1 280,44 280,44 280,44 280,44 475301 Skandia Fonder AB Skandia Världen SEK 2005-11-30 1 1 280,25 280,25 280,25 280,25 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-01 1 1 281,69 281,69 281,69 281,69 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-02 1 1 282,21 282,21 282,21 282,21 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-05 1 1 280,99 280,99 280,99 280,99 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-06 1 1 279,6 279,6 279,6 279,6 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-07 1 1 280,92 280,92 280,92 280,92 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-08 1 1 279,43 279,43 279,43 279,43 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-12 1 1 279,4 279,4 279,4 279,4 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-13 1 1 279,94 279,94 279,94 279,94 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-14 1 1 279,51 279,51 279,51 279,51 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-15 1 1 279,6 279,6 279,6 279,6 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-16 1 1 280,81 280,81 280,81 280,81 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-19 1 1 279,3 279,3 279,3 279,3 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-20 1 1 279,22 279,22 279,22 279,22 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-21 1 1 282,83 282,83 282,83 282,83 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-22 1 1 283,38 283,38 283,38 283,38 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-23 1 1 283,53 283,53 283,53 283,53 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-27 1 1 284,31 284,31 284,31 284,31 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-28 1 1 280,03 280,03 280,03 280,03 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-29 1 1 281,81 281,81 281,81 281,81 475301 Skandia Fonder AB Skandia Världen SEK 2005-12-30 1 1 279,97 279,97 279,97 279,97 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-03 1 1 178,65 178,65 178,65 178,65 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-04 1 1 179,74 179,74 179,74 179,74 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-05 1 1 179,73 179,73 179,73 179,73 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-07 1 1 179,1 179,1 179,1 179,1 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-10 1 1 178,78 178,78 178,78 178,78 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-11 1 1 178,8 178,8 178,8 178,8 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-12 1 1 178,49 178,49 178,49 178,49 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-13 1 1 177,31 177,31 177,31 177,31 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-14 1 1 177,34 177,34 177,34 177,34 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-17 1 1 177,01 177,01 177,01 177,01 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-18 1 1 176,99 176,99 176,99 176,99 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-19 1 1 178,56 178,56 178,56 178,56 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-20 1 1 176,96 176,96 176,96 176,96 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-21 1 1 176,41 176,41 176,41 176,41 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-24 1 1 173,99 173,99 173,99 173,99 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-25 1 1 174,83 174,83 174,83 174,83 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-26 1 1 176,56 176,56 176,56 176,56 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-27 1 1 177,07 177,07 177,07 177,07 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-28 1 1 176,34 176,34 176,34 176,34 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-01-31 1 1 177,22 177,22 177,22 177,22 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-01 1 1 178,76 178,76 178,76 178,76 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-02 1 1 180,48 180,48 180,48 180,48 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-03 1 1 180,77 180,77 180,77 180,77 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-04 1 1 180,79 180,79 180,79 180,79 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-07 1 1 183,9 183,9 183,9 183,9 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-08 1 1 183,87 183,87 183,87 183,87 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-09 1 1 184,14 184,14 184,14 184,14 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-10 1 1 183 183 183 183 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-11 1 1 182,69 182,69 182,69 182,69 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-14 1 1 184,86 184,86 184,86 184,86 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-15 1 1 185,76 185,76 185,76 185,76 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-16 1 1 186 186 186 186 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-17 1 1 184,01 184,01 184,01 184,01 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-18 1 1 183,6 183,6 183,6 183,6 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-21 1 1 184,35 184,35 184,35 184,35 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-22 1 1 183,19 183,19 183,19 183,19 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-23 1 1 183,86 183,86 183,86 183,86 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-24 1 1 184,6 184,6 184,6 184,6 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-25 1 1 185,33 185,33 185,33 185,33 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-02-28 1 1 186 186 186 186 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-01 1 1 186,54 186,54 186,54 186,54 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-02 1 1 188,27 188,27 188,27 188,27 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-03 1 1 189,63 189,63 189,63 189,63 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-04 1 1 189,86 189,86 189,86 189,86 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-08 1 1 190,96 190,96 190,96 190,96 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-09 1 1 190,24 190,24 190,24 190,24 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-10 1 1 187,85 187,85 187,85 187,85 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-11 1 1 187,36 187,36 187,36 187,36 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-14 1 1 187,41 187,41 187,41 187,41 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-15 1 1 188,35 188,35 188,35 188,35 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-16 1 1 188,51 188,51 188,51 188,51 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-17 1 1 189,19 189,19 189,19 189,19 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-18 1 1 189,72 189,72 189,72 189,72 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-21 1 1 189,58 189,58 189,58 189,58 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-22 1 1 189,68 189,68 189,68 189,68 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-23 1 1 189,89 189,89 189,89 189,89 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-24 1 1 189,44 189,44 189,44 189,44 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-29 1 1 189,82 189,82 189,82 189,82 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-30 1 1 188,54 188,54 188,54 188,54 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-03-31 1 1 190,1 190,1 190,1 190,1 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-01 1 1 190,53 190,53 190,53 190,53 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-04 1 1 189,94 189,94 189,94 189,94 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-05 1 1 190,47 190,47 190,47 190,47 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-06 1 1 192,16 192,16 192,16 192,16 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-07 1 1 192,15 192,15 192,15 192,15 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-08 1 1 192,58 192,58 192,58 192,58 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-11 1 1 192,18 192,18 192,18 192,18 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-12 1 1 192,23 192,23 192,23 192,23 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-13 1 1 192,43 192,43 192,43 192,43 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-14 1 1 192,62 192,62 192,62 192,62 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-15 1 1 189,3 189,3 189,3 189,3 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-18 1 1 186,46 186,46 186,46 186,46 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-19 1 1 187,58 187,58 187,58 187,58 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-20 1 1 188,67 188,67 188,67 188,67 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-21 1 1 188,69 188,69 188,69 188,69 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-22 1 1 187,55 187,55 187,55 187,55 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-25 1 1 183,83 183,83 183,83 183,83 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-26 1 1 182,02 182,02 182,02 182,02 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-27 1 1 178,62 178,62 178,62 178,62 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-28 1 1 177,4 177,4 177,4 177,4 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-04-29 1 1 176,41 176,41 176,41 176,41 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-02 1 1 177,6 177,6 177,6 177,6 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-03 1 1 176,01 176,01 176,01 176,01 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-04 1 1 174,49 174,49 174,49 174,49 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-06 1 1 176,23 176,23 176,23 176,23 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-09 1 1 177,05 177,05 177,05 177,05 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-10 1 1 176,24 176,24 176,24 176,24 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-11 1 1 174,24 174,24 174,24 174,24 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-12 1 1 177,25 177,25 177,25 177,25 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-13 1 1 177,24 177,24 177,24 177,24 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-16 1 1 176,75 176,75 176,75 176,75 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-17 1 1 176,78 176,78 176,78 176,78 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-18 1 1 177,17 177,17 177,17 177,17 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-19 1 1 178,14 178,14 178,14 178,14 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-20 1 1 178,36 178,36 178,36 178,36 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-23 1 1 179,5 179,5 179,5 179,5 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-24 1 1 179,23 179,23 179,23 179,23 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-25 1 1 179,96 179,96 179,96 179,96 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-26 1 1 181,43 181,43 181,43 181,43 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-27 1 1 183,09 183,09 183,09 183,09 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-30 1 1 183,53 183,53 183,53 183,53 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-05-31 1 1 183,56 183,56 183,56 183,56 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-01 1 1 183,39 183,39 183,39 183,39 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-02 1 1 182,56 182,56 182,56 182,56 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-03 1 1 182,19 182,19 182,19 182,19 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-07 1 1 184,33 184,33 184,33 184,33 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-08 1 1 185,34 185,34 185,34 185,34 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-09 1 1 186,29 186,29 186,29 186,29 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-10 1 1 186,8 186,8 186,8 186,8 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-13 1 1 187,3 187,3 187,3 187,3 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-14 1 1 188,54 188,54 188,54 188,54 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-15 1 1 189,76 189,76 189,76 189,76 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-16 1 1 189,76 189,76 189,76 189,76 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-17 1 1 190,86 190,86 190,86 190,86 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-20 1 1 190,35 190,35 190,35 190,35 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-21 1 1 190,41 190,41 190,41 190,41 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-22 1 1 191,6 191,6 191,6 191,6 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-23 1 1 191,85 191,85 191,85 191,85 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-27 1 1 188,06 188,06 188,06 188,06 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-28 1 1 188,01 188,01 188,01 188,01 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-29 1 1 190,47 190,47 190,47 190,47 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-06-30 1 1 191,05 191,05 191,05 191,05 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-01 1 1 191,76 191,76 191,76 191,76 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-04 1 1 192,54 192,54 192,54 192,54 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-05 1 1 192,69 192,69 192,69 192,69 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-06 1 1 194,02 194,02 194,02 194,02 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-07 1 1 191,12 191,12 191,12 191,12 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-08 1 1 193,33 193,33 193,33 193,33 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-11 1 1 195,22 195,22 195,22 195,22 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-12 1 1 195,83 195,83 195,83 195,83 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-13 1 1 196,8 196,8 196,8 196,8 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-14 1 1 198,06 198,06 198,06 198,06 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-15 1 1 197,13 197,13 197,13 197,13 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-18 1 1 197,85 197,85 197,85 197,85 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-19 1 1 197,91 197,91 197,91 197,91 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-20 1 1 197,27 197,27 197,27 197,27 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-21 1 1 195,61 195,61 195,61 195,61 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-22 1 1 195,42 195,42 195,42 195,42 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-25 1 1 195,41 195,41 195,41 195,41 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-26 1 1 198,97 198,97 198,97 198,97 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-27 1 1 199,84 199,84 199,84 199,84 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-28 1 1 200,68 200,68 200,68 200,68 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-07-29 1 1 201,52 201,52 201,52 201,52 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-01 1 1 201,09 201,09 201,09 201,09 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-02 1 1 202,23 202,23 202,23 202,23 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-03 1 1 202,35 202,35 202,35 202,35 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-04 1 1 201,17 201,17 201,17 201,17 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-05 1 1 201,3 201,3 201,3 201,3 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-08 1 1 200,53 200,53 200,53 200,53 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-09 1 1 200,19 200,19 200,19 200,19 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-10 1 1 202,33 202,33 202,33 202,33 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-11 1 1 203,04 203,04 203,04 203,04 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-12 1 1 203,37 203,37 203,37 203,37 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-15 1 1 202,99 202,99 202,99 202,99 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-16 1 1 203,04 203,04 203,04 203,04 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-17 1 1 200,72 200,72 200,72 200,72 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-18 1 1 200,64 200,64 200,64 200,64 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-19 1 1 202,31 202,31 202,31 202,31 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-22 1 1 202,64 202,64 202,64 202,64 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-23 1 1 202,46 202,46 202,46 202,46 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-24 1 1 200,03 200,03 200,03 200,03 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-25 1 1 198,37 198,37 198,37 198,37 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-26 1 1 198,33 198,33 198,33 198,33 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-29 1 1 196,19 196,19 196,19 196,19 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-30 1 1 198,29 198,29 198,29 198,29 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-08-31 1 1 198,11 198,11 198,11 198,11 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-01 1 1 199,24 199,24 199,24 199,24 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-02 1 1 198,38 198,38 198,38 198,38 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-05 1 1 198,73 198,73 198,73 198,73 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-06 1 1 199,35 199,35 199,35 199,35 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-07 1 1 200,48 200,48 200,48 200,48 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-08 1 1 200,14 200,14 200,14 200,14 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-09 1 1 201,54 201,54 201,54 201,54 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-12 1 1 202,17 202,17 202,17 202,17 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-13 1 1 201,51 201,51 201,51 201,51 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-14 1 1 202,06 202,06 202,06 202,06 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-15 1 1 202,7 202,7 202,7 202,7 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-16 1 1 203,09 203,09 203,09 203,09 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-19 1 1 203,28 203,28 203,28 203,28 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-20 1 1 202,17 202,17 202,17 202,17 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-21 1 1 201,14 201,14 201,14 201,14 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-22 1 1 199,76 199,76 199,76 199,76 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-23 1 1 198,51 198,51 198,51 198,51 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-26 1 1 200,6 200,6 200,6 200,6 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-27 1 1 201,72 201,72 201,72 201,72 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-28 1 1 202,77 202,77 202,77 202,77 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-29 1 1 202,7 202,7 202,7 202,7 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-09-30 1 1 203,33 203,33 203,33 203,33 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-03 1 1 203,08 203,08 203,08 203,08 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-04 1 1 203 203 203 203 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-05 1 1 202,75 202,75 202,75 202,75 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-06 1 1 201,28 201,28 201,28 201,28 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-07 1 1 202,31 202,31 202,31 202,31 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-10 1 1 203,72 203,72 203,72 203,72 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-11 1 1 204,99 204,99 204,99 204,99 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-12 1 1 203,9 203,9 203,9 203,9 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-13 1 1 201,08 201,08 201,08 201,08 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-14 1 1 199,7 199,7 199,7 199,7 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-17 1 1 200 200 200 200 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-18 1 1 198,49 198,49 198,49 198,49 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-19 1 1 195,04 195,04 195,04 195,04 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-20 1 1 196,43 196,43 196,43 196,43 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-21 1 1 194,9 194,9 194,9 194,9 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-24 1 1 198,13 198,13 198,13 198,13 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-25 1 1 199,79 199,79 199,79 199,79 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-26 1 1 199,53 199,53 199,53 199,53 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-27 1 1 198,62 198,62 198,62 198,62 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-28 1 1 197,43 197,43 197,43 197,43 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-10-31 1 1 201,17 201,17 201,17 201,17 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-01 1 1 201,17 201,17 201,17 201,17 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-02 1 1 201,79 201,79 201,79 201,79 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-03 1 1 205,31 205,31 205,31 205,31 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-04 1 1 205,57 205,57 205,57 205,57 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-07 1 1 205,67 205,67 205,67 205,67 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-08 1 1 206,51 206,51 206,51 206,51 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-09 1 1 206,39 206,39 206,39 206,39 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-10 1 1 207,6 207,6 207,6 207,6 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-11 1 1 209,06 209,06 209,06 209,06 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-14 1 1 210,11 210,11 210,11 210,11 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-15 1 1 211,72 211,72 211,72 211,72 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-16 1 1 211,9 211,9 211,9 211,9 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-17 1 1 213,87 213,87 213,87 213,87 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-18 1 1 214,72 214,72 214,72 214,72 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-21 1 1 213,37 213,37 213,37 213,37 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-22 1 1 214,44 214,44 214,44 214,44 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-23 1 1 215,34 215,34 215,34 215,34 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-24 1 1 215,18 215,18 215,18 215,18 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-25 1 1 215,64 215,64 215,64 215,64 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-28 1 1 217,1 217,1 217,1 217,1 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-29 1 1 217,46 217,46 217,46 217,46 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-11-30 1 1 216,87 216,87 216,87 216,87 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-01 1 1 218,48 218,48 218,48 218,48 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-02 1 1 220,21 220,21 220,21 220,21 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-05 1 1 219,9 219,9 219,9 219,9 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-06 1 1 221,31 221,31 221,31 221,31 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-07 1 1 221,91 221,91 221,91 221,91 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-08 1 1 221,83 221,83 221,83 221,83 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-12 1 1 223,3 223,3 223,3 223,3 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-13 1 1 224,75 224,75 224,75 224,75 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-14 1 1 224,24 224,24 224,24 224,24 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-15 1 1 222,96 222,96 222,96 222,96 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-16 1 1 224,5 224,5 224,5 224,5 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-19 1 1 225,99 225,99 225,99 225,99 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-20 1 1 225,94 225,94 225,94 225,94 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-21 1 1 227,58 227,58 227,58 227,58 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-22 1 1 228,82 228,82 228,82 228,82 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-23 1 1 230,69 230,69 230,69 230,69 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-27 1 1 232,33 232,33 232,33 232,33 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-28 1 1 232,77 232,77 232,77 232,77 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-29 1 1 234,45 234,45 234,45 234,45 152181 Spiltan Fonder AB Spiltan Aktiefond Sverige SEK 2005-12-30 1 1 235,45 235,45 235,45 235,45 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-03 1 1 146,58 146,58 146,58 146,58 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-04 1 1 146,3 146,3 146,3 146,3 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-05 1 1 145,99 145,99 145,99 145,99 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-07 1 1 146,46 146,46 146,46 146,46 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-10 1 1 147,37 147,37 147,37 147,37 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-11 1 1 148,42 148,42 148,42 148,42 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-12 1 1 148,43 148,43 148,43 148,43 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-13 1 1 148,64 148,64 148,64 148,64 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-14 1 1 149,26 149,26 149,26 149,26 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-17 1 1 150,53 150,53 150,53 150,53 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-18 1 1 150,39 150,39 150,39 150,39 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-19 1 1 151,42 151,42 151,42 151,42 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-20 1 1 150,9 150,9 150,9 150,9 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-21 1 1 150,96 150,96 150,96 150,96 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-24 1 1 150,59 150,59 150,59 150,59 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-25 1 1 150,73 150,73 150,73 150,73 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-26 1 1 151 151 151 151 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-27 1 1 151,18 151,18 151,18 151,18 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-28 1 1 151,64 151,64 151,64 151,64 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-01-31 1 1 152,65 152,65 152,65 152,65 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-01 1 1 153,13 153,13 153,13 153,13 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-02 1 1 153,45 153,45 153,45 153,45 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-03 1 1 152,51 152,51 152,51 152,51 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-04 1 1 152,72 152,72 152,72 152,72 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-07 1 1 153,27 153,27 153,27 153,27 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-08 1 1 153,62 153,62 153,62 153,62 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-09 1 1 153,74 153,74 153,74 153,74 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-10 1 1 153,77 153,77 153,77 153,77 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-11 1 1 154 154 154 154 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-14 1 1 154,02 154,02 154,02 154,02 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-15 1 1 154,31 154,31 154,31 154,31 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-16 1 1 154,05 154,05 154,05 154,05 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-17 1 1 153,89 153,89 153,89 153,89 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-18 1 1 154,05 154,05 154,05 154,05 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-21 1 1 154,22 154,22 154,22 154,22 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-22 1 1 154,94 154,94 154,94 154,94 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-23 1 1 155,05 155,05 155,05 155,05 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-24 1 1 155,16 155,16 155,16 155,16 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-25 1 1 155,52 155,52 155,52 155,52 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-02-28 1 1 155,9 155,9 155,9 155,9 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-01 1 1 155,71 155,71 155,71 155,71 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-02 1 1 157,68 157,68 157,68 157,68 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-03 1 1 157,85 157,85 157,85 157,85 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-04 1 1 158,52 158,52 158,52 158,52 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-08 1 1 159,21 159,21 159,21 159,21 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-09 1 1 159,51 159,51 159,51 159,51 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-10 1 1 158,44 158,44 158,44 158,44 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-11 1 1 158,75 158,75 158,75 158,75 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-14 1 1 158,03 158,03 158,03 158,03 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-15 1 1 158,42 158,42 158,42 158,42 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-16 1 1 158 158 158 158 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-17 1 1 158,3 158,3 158,3 158,3 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-18 1 1 159,51 159,51 159,51 159,51 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-21 1 1 159,59 159,59 159,59 159,59 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-22 1 1 159,6 159,6 159,6 159,6 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-23 1 1 159,42 159,42 159,42 159,42 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-24 1 1 159,53 159,53 159,53 159,53 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-29 1 1 159,91 159,91 159,91 159,91 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-30 1 1 159,33 159,33 159,33 159,33 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-03-31 1 1 161,1 161,1 161,1 161,1 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-01 1 1 161,5 161,5 161,5 161,5 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-04 1 1 161,27 161,27 161,27 161,27 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-05 1 1 162,04 162,04 162,04 162,04 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-06 1 1 162,71 162,71 162,71 162,71 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-07 1 1 162,88 162,88 162,88 162,88 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-08 1 1 163,42 163,42 163,42 163,42 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-11 1 1 162,94 162,94 162,94 162,94 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-12 1 1 162,71 162,71 162,71 162,71 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-13 1 1 163,38 163,38 163,38 163,38 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-14 1 1 163,78 163,78 163,78 163,78 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-15 1 1 162,39 162,39 162,39 162,39 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-18 1 1 160,03 160,03 160,03 160,03 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-19 1 1 161,12 161,12 161,12 161,12 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-20 1 1 161,08 161,08 161,08 161,08 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-21 1 1 159,88 159,88 159,88 159,88 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-22 1 1 159,64 159,64 159,64 159,64 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-25 1 1 158,75 158,75 158,75 158,75 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-26 1 1 157,91 157,91 157,91 157,91 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-27 1 1 155,71 155,71 155,71 155,71 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-28 1 1 154,76 154,76 154,76 154,76 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-04-29 1 1 155,05 155,05 155,05 155,05 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-02 1 1 155,48 155,48 155,48 155,48 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-03 1 1 154,69 154,69 154,69 154,69 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-04 1 1 153,45 153,45 153,45 153,45 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-06 1 1 153,62 153,62 153,62 153,62 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-09 1 1 153,44 153,44 153,44 153,44 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-10 1 1 152,69 152,69 152,69 152,69 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-11 1 1 151,28 151,28 151,28 151,28 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-12 1 1 152,02 152,02 152,02 152,02 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-13 1 1 150,96 150,96 150,96 150,96 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-16 1 1 151,12 151,12 151,12 151,12 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-17 1 1 152,12 152,12 152,12 152,12 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-18 1 1 153,02 153,02 153,02 153,02 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-19 1 1 154,24 154,24 154,24 154,24 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-20 1 1 154,55 154,55 154,55 154,55 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-23 1 1 154,64 154,64 154,64 154,64 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-24 1 1 154,83 154,83 154,83 154,83 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-25 1 1 154,42 154,42 154,42 154,42 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-26 1 1 154,72 154,72 154,72 154,72 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-27 1 1 155,2 155,2 155,2 155,2 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-30 1 1 154,75 154,75 154,75 154,75 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-05-31 1 1 155,15 155,15 155,15 155,15 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-01 1 1 154,47 154,47 154,47 154,47 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-02 1 1 153,99 153,99 153,99 153,99 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-03 1 1 153,52 153,52 153,52 153,52 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-07 1 1 153,85 153,85 153,85 153,85 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-08 1 1 154,6 154,6 154,6 154,6 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-09 1 1 154,55 154,55 154,55 154,55 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-10 1 1 155,1 155,1 155,1 155,1 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-13 1 1 156,02 156,02 156,02 156,02 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-14 1 1 157,26 157,26 157,26 157,26 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-15 1 1 158,06 158,06 158,06 158,06 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-16 1 1 157,88 157,88 157,88 157,88 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-17 1 1 158,03 158,03 158,03 158,03 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-20 1 1 156,79 156,79 156,79 156,79 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-21 1 1 157,04 157,04 157,04 157,04 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-22 1 1 158,4 158,4 158,4 158,4 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-23 1 1 158,54 158,54 158,54 158,54 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-27 1 1 157,49 157,49 157,49 157,49 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-28 1 1 158,39 158,39 158,39 158,39 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-29 1 1 159,52 159,52 159,52 159,52 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-06-30 1 1 160,01 160,01 160,01 160,01 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-01 1 1 160,13 160,13 160,13 160,13 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-04 1 1 160,72 160,72 160,72 160,72 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-05 1 1 161,33 161,33 161,33 161,33 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-06 1 1 160,95 160,95 160,95 160,95 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-07 1 1 159,64 159,64 159,64 159,64 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-08 1 1 160,7 160,7 160,7 160,7 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-11 1 1 161,53 161,53 161,53 161,53 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-12 1 1 161,55 161,55 161,55 161,55 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-13 1 1 162,56 162,56 162,56 162,56 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-14 1 1 163,16 163,16 163,16 163,16 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-15 1 1 163,4 163,4 163,4 163,4 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-18 1 1 164,13 164,13 164,13 164,13 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-19 1 1 163,78 163,78 163,78 163,78 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-20 1 1 163,9 163,9 163,9 163,9 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-21 1 1 164,53 164,53 164,53 164,53 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-22 1 1 164,15 164,15 164,15 164,15 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-25 1 1 163,74 163,74 163,74 163,74 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-26 1 1 163,96 163,96 163,96 163,96 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-27 1 1 163,91 163,91 163,91 163,91 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-28 1 1 165,33 165,33 165,33 165,33 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-07-29 1 1 165,97 165,97 165,97 165,97 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-01 1 1 166,13 166,13 166,13 166,13 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-02 1 1 166,54 166,54 166,54 166,54 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-03 1 1 166,37 166,37 166,37 166,37 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-04 1 1 166,25 166,25 166,25 166,25 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-05 1 1 165,92 165,92 165,92 165,92 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-08 1 1 165,87 165,87 165,87 165,87 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-09 1 1 165,75 165,75 165,75 165,75 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-10 1 1 166,18 166,18 166,18 166,18 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-11 1 1 166,16 166,16 166,16 166,16 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-12 1 1 165,89 165,89 165,89 165,89 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-15 1 1 166,14 166,14 166,14 166,14 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-16 1 1 166,73 166,73 166,73 166,73 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-17 1 1 165,37 165,37 165,37 165,37 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-18 1 1 165,24 165,24 165,24 165,24 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-19 1 1 166,29 166,29 166,29 166,29 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-22 1 1 166,43 166,43 166,43 166,43 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-23 1 1 165,53 165,53 165,53 165,53 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-24 1 1 164,66 164,66 164,66 164,66 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-25 1 1 163,28 163,28 163,28 163,28 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-26 1 1 162,93 162,93 162,93 162,93 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-29 1 1 162,85 162,85 162,85 162,85 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-30 1 1 163,41 163,41 163,41 163,41 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-08-31 1 1 163,39 163,39 163,39 163,39 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-01 1 1 162,95 162,95 162,95 162,95 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-02 1 1 162,3 162,3 162,3 162,3 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-05 1 1 162,83 162,83 162,83 162,83 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-06 1 1 163,59 163,59 163,59 163,59 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-07 1 1 164,59 164,59 164,59 164,59 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-08 1 1 164,88 164,88 164,88 164,88 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-09 1 1 164,69 164,69 164,69 164,69 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-12 1 1 164,49 164,49 164,49 164,49 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-13 1 1 163,88 163,88 163,88 163,88 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-14 1 1 163,94 163,94 163,94 163,94 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-15 1 1 164,12 164,12 164,12 164,12 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-16 1 1 164,37 164,37 164,37 164,37 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-19 1 1 164,99 164,99 164,99 164,99 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-20 1 1 164,48 164,48 164,48 164,48 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-21 1 1 163,72 163,72 163,72 163,72 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-22 1 1 163,25 163,25 163,25 163,25 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-23 1 1 163,6 163,6 163,6 163,6 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-26 1 1 165,3 165,3 165,3 165,3 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-27 1 1 165,46 165,46 165,46 165,46 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-28 1 1 166,29 166,29 166,29 166,29 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-29 1 1 166,2 166,2 166,2 166,2 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-09-30 1 1 166,87 166,87 166,87 166,87 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-03 1 1 166,94 166,94 166,94 166,94 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-04 1 1 167,56 167,56 167,56 167,56 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-05 1 1 167,39 167,39 167,39 167,39 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-06 1 1 165,5 165,5 165,5 165,5 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-07 1 1 165,97 165,97 165,97 165,97 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-10 1 1 166,67 166,67 166,67 166,67 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-11 1 1 167,16 167,16 167,16 167,16 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-12 1 1 166,52 166,52 166,52 166,52 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-13 1 1 164,77 164,77 164,77 164,77 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-14 1 1 164,25 164,25 164,25 164,25 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-17 1 1 164,33 164,33 164,33 164,33 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-18 1 1 164,18 164,18 164,18 164,18 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-19 1 1 162,2 162,2 162,2 162,2 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-20 1 1 162,62 162,62 162,62 162,62 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-21 1 1 161,27 161,27 161,27 161,27 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-24 1 1 162,29 162,29 162,29 162,29 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-25 1 1 163,58 163,58 163,58 163,58 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-26 1 1 163,51 163,51 163,51 163,51 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-27 1 1 162,95 162,95 162,95 162,95 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-28 1 1 163,27 163,27 163,27 163,27 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-10-31 1 1 164,49 164,49 164,49 164,49 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-01 1 1 164,58 164,58 164,58 164,58 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-02 1 1 164,22 164,22 164,22 164,22 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-03 1 1 164,85 164,85 164,85 164,85 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-04 1 1 165,36 165,36 165,36 165,36 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-07 1 1 165,66 165,66 165,66 165,66 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-08 1 1 165,69 165,69 165,69 165,69 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-09 1 1 165,93 165,93 165,93 165,93 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-10 1 1 166,83 166,83 166,83 166,83 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-11 1 1 167,61 167,61 167,61 167,61 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-14 1 1 167,64 167,64 167,64 167,64 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-15 1 1 168,08 168,08 168,08 168,08 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-16 1 1 168,31 168,31 168,31 168,31 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-17 1 1 168,27 168,27 168,27 168,27 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-18 1 1 168,82 168,82 168,82 168,82 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-21 1 1 169,16 169,16 169,16 169,16 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-22 1 1 169,75 169,75 169,75 169,75 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-23 1 1 170,08 170,08 170,08 170,08 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-24 1 1 170,44 170,44 170,44 170,44 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-25 1 1 170,53 170,53 170,53 170,53 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-28 1 1 171,02 171,02 171,02 171,02 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-29 1 1 171,4 171,4 171,4 171,4 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-11-30 1 1 171,28 171,28 171,28 171,28 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-01 1 1 172,46 172,46 172,46 172,46 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-02 1 1 172,87 172,87 172,87 172,87 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-05 1 1 173,38 173,38 173,38 173,38 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-06 1 1 174,17 174,17 174,17 174,17 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-07 1 1 174,87 174,87 174,87 174,87 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-08 1 1 174,53 174,53 174,53 174,53 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-12 1 1 174,11 174,11 174,11 174,11 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-13 1 1 174,68 174,68 174,68 174,68 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-14 1 1 175,07 175,07 175,07 175,07 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-15 1 1 175,41 175,41 175,41 175,41 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-16 1 1 176,72 176,72 176,72 176,72 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-19 1 1 177,78 177,78 177,78 177,78 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-20 1 1 177,81 177,81 177,81 177,81 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-21 1 1 178,64 178,64 178,64 178,64 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-22 1 1 180,3 180,3 180,3 180,3 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-23 1 1 181,16 181,16 181,16 181,16 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-27 1 1 182,31 182,31 182,31 182,31 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-28 1 1 181,88 181,88 181,88 181,88 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-29 1 1 182,51 182,51 182,51 182,51 339184 Spiltan Fonder AB Spiltan Aktiva Ägare SEK 2005-12-30 1 1 182,05 182,05 182,05 182,05 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-03 1 1 274,18 274,18 274,18 274,18 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-04 1 1 275,12 275,12 275,12 275,12 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-05 1 1 272,59 272,59 272,59 272,59 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-07 1 1 274,05 274,05 274,05 274,05 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-10 1 1 276,07 276,07 276,07 276,07 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-11 1 1 275,22 275,22 275,22 275,22 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-12 1 1 272,02 272,02 272,02 272,02 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-13 1 1 271,17 271,17 271,17 271,17 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-14 1 1 272,3 272,3 272,3 272,3 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-17 1 1 273,72 273,72 273,72 273,72 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-18 1 1 272,17 272,17 272,17 272,17 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-19 1 1 274,67 274,67 274,67 274,67 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-20 1 1 271,74 271,74 271,74 271,74 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-21 1 1 271 271 271 271 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-24 1 1 268,49 268,49 268,49 268,49 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-25 1 1 270,06 270,06 270,06 270,06 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-26 1 1 270,82 270,82 270,82 270,82 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-27 1 1 272,97 272,97 272,97 272,97 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-28 1 1 271,78 271,78 271,78 271,78 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-01-31 1 1 273,4 273,4 273,4 273,4 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-01 1 1 274,01 274,01 274,01 274,01 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-02 1 1 276,49 276,49 276,49 276,49 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-03 1 1 275,93 275,93 275,93 275,93 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-04 1 1 277,62 277,62 277,62 277,62 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-07 1 1 280,7 280,7 280,7 280,7 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-08 1 1 281,05 281,05 281,05 281,05 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-09 1 1 283,05 283,05 283,05 283,05 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-10 1 1 280,08 280,08 280,08 280,08 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-11 1 1 281,51 281,51 281,51 281,51 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-14 1 1 282,91 282,91 282,91 282,91 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-15 1 1 283,97 283,97 283,97 283,97 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-16 1 1 281,49 281,49 281,49 281,49 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-17 1 1 284,33 284,33 284,33 284,33 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-18 1 1 281,26 281,26 281,26 281,26 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-21 1 1 282,5 282,5 282,5 282,5 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-22 1 1 280,11 280,11 280,11 280,11 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-23 1 1 281,52 281,52 281,52 281,52 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-24 1 1 282,41 282,41 282,41 282,41 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-25 1 1 284,15 284,15 284,15 284,15 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-02-28 1 1 285,68 285,68 285,68 285,68 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-01 1 1 285,56 285,56 285,56 285,56 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-02 1 1 285,44 285,44 285,44 285,44 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-03 1 1 288,72 288,72 288,72 288,72 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-04 1 1 289,8 289,8 289,8 289,8 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-07 1 1 289,16 289,16 289,16 289,16 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-08 1 1 288,51 288,51 288,51 288,51 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-09 1 1 287,54 287,54 287,54 287,54 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-10 1 1 286,05 286,05 286,05 286,05 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-11 1 1 286,41 286,41 286,41 286,41 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-14 1 1 286,45 286,45 286,45 286,45 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-15 1 1 289,07 289,07 289,07 289,07 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-16 1 1 285,63 285,63 285,63 285,63 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-17 1 1 284,93 284,93 284,93 284,93 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-18 1 1 285,07 285,07 285,07 285,07 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-21 1 1 284,17 284,17 284,17 284,17 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-22 1 1 285,4 285,4 285,4 285,4 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-23 1 1 283,4 283,4 283,4 283,4 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-24 1 1 286,47 286,47 286,47 286,47 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-29 1 1 285,78 285,78 285,78 285,78 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-30 1 1 284,03 284,03 284,03 284,03 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-03-31 1 1 285,65 285,65 285,65 285,65 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-01 1 1 286,87 286,87 286,87 286,87 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-04 1 1 286,52 286,52 286,52 286,52 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-05 1 1 289,13 289,13 289,13 289,13 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-06 1 1 291,63 291,63 291,63 291,63 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-07 1 1 291,59 291,59 291,59 291,59 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-08 1 1 293,79 293,79 293,79 293,79 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-11 1 1 295,19 295,19 295,19 295,19 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-12 1 1 294,58 294,58 294,58 294,58 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-13 1 1 296,18 296,18 296,18 296,18 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-14 1 1 297,73 297,73 297,73 297,73 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-15 1 1 293,77 293,77 293,77 293,77 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-18 1 1 288,52 288,52 288,52 288,52 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-19 1 1 290,87 290,87 290,87 290,87 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-20 1 1 291,42 291,42 291,42 291,42 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-21 1 1 290,78 290,78 290,78 290,78 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-22 1 1 293,97 293,97 293,97 293,97 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-25 1 1 292,91 292,91 292,91 292,91 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-26 1 1 290,96 290,96 290,96 290,96 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-27 1 1 285,77 285,77 285,77 285,77 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-28 1 1 282,38 282,38 282,38 282,38 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-04-29 1 1 284,57 284,57 284,57 284,57 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-02 1 1 286,42 286,42 286,42 286,42 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-03 1 1 285,81 285,81 285,81 285,81 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-04 1 1 286,65 286,65 286,65 286,65 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-06 1 1 289,84 289,84 289,84 289,84 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-09 1 1 290,1 290,1 290,1 290,1 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-10 1 1 288,33 288,33 288,33 288,33 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-11 1 1 289,14 289,14 289,14 289,14 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-12 1 1 290,28 290,28 290,28 290,28 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-13 1 1 290,87 290,87 290,87 290,87 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-16 1 1 290,8 290,8 290,8 290,8 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-17 1 1 292,99 292,99 292,99 292,99 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-18 1 1 295,75 295,75 295,75 295,75 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-19 1 1 296,21 296,21 296,21 296,21 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-20 1 1 296,43 296,43 296,43 296,43 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-23 1 1 296,06 296,06 296,06 296,06 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-24 1 1 296,63 296,63 296,63 296,63 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-25 1 1 297,39 297,39 297,39 297,39 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-26 1 1 298,67 298,67 298,67 298,67 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-27 1 1 299,64 299,64 299,64 299,64 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-30 1 1 299,91 299,91 299,91 299,91 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-05-31 1 1 300,98 300,98 300,98 300,98 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-01 1 1 300,37 300,37 300,37 300,37 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-02 1 1 299,32 299,32 299,32 299,32 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-03 1 1 298,72 298,72 298,72 298,72 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-07 1 1 299,13 299,13 299,13 299,13 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-08 1 1 301,65 301,65 301,65 301,65 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-09 1 1 301,72 301,72 301,72 301,72 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-10 1 1 303,42 303,42 303,42 303,42 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-13 1 1 303,33 303,33 303,33 303,33 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-14 1 1 305,01 305,01 305,01 305,01 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-15 1 1 306,04 306,04 306,04 306,04 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-16 1 1 305,52 305,52 305,52 305,52 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-17 1 1 307,23 307,23 307,23 307,23 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-20 1 1 306,91 306,91 306,91 306,91 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-21 1 1 309,22 309,22 309,22 309,22 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-22 1 1 311,06 311,06 311,06 311,06 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-23 1 1 312,47 312,47 312,47 312,47 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-27 1 1 307,16 307,16 307,16 307,16 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-28 1 1 308,15 308,15 308,15 308,15 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-29 1 1 311,27 311,27 311,27 311,27 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-06-30 1 1 312,39 312,39 312,39 312,39 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-01 1 1 312,76 312,76 312,76 312,76 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-04 1 1 315,13 315,13 315,13 315,13 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-05 1 1 314,71 314,71 314,71 314,71 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-06 1 1 315,71 315,71 315,71 315,71 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-07 1 1 309,95 309,95 309,95 309,95 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-08 1 1 313,73 313,73 313,73 313,73 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-11 1 1 318,7 318,7 318,7 318,7 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-12 1 1 320,06 320,06 320,06 320,06 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-13 1 1 322,14 322,14 322,14 322,14 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-14 1 1 322,87 322,87 322,87 322,87 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-15 1 1 322,97 322,97 322,97 322,97 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-18 1 1 322,69 322,69 322,69 322,69 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-19 1 1 322,63 322,63 322,63 322,63 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-20 1 1 321,2 321,2 321,2 321,2 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-21 1 1 324,24 324,24 324,24 324,24 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-22 1 1 325,14 325,14 325,14 325,14 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-25 1 1 323,25 323,25 323,25 323,25 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-26 1 1 325,12 325,12 325,12 325,12 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-27 1 1 325,87 325,87 325,87 325,87 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-28 1 1 328,27 328,27 328,27 328,27 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-07-29 1 1 328,43 328,43 328,43 328,43 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-01 1 1 328,69 328,69 328,69 328,69 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-02 1 1 329,72 329,72 329,72 329,72 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-03 1 1 329,91 329,91 329,91 329,91 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-04 1 1 329,18 329,18 329,18 329,18 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-05 1 1 328,15 328,15 328,15 328,15 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-08 1 1 327,32 327,32 327,32 327,32 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-09 1 1 328,02 328,02 328,02 328,02 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-10 1 1 331,81 331,81 331,81 331,81 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-11 1 1 329,77 329,77 329,77 329,77 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-12 1 1 329,95 329,95 329,95 329,95 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-15 1 1 329,28 329,28 329,28 329,28 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-16 1 1 329,85 329,85 329,85 329,85 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-17 1 1 327,58 327,58 327,58 327,58 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-18 1 1 328,19 328,19 328,19 328,19 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-19 1 1 330,51 330,51 330,51 330,51 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-22 1 1 330,55 330,55 330,55 330,55 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-23 1 1 329,09 329,09 329,09 329,09 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-24 1 1 323,05 323,05 323,05 323,05 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-25 1 1 321,27 321,27 321,27 321,27 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-26 1 1 318,59 318,59 318,59 318,59 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-29 1 1 318,13 318,13 318,13 318,13 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-30 1 1 320,66 320,66 320,66 320,66 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-08-31 1 1 323,12 323,12 323,12 323,12 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-01 1 1 325,18 325,18 325,18 325,18 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-02 1 1 324,8 324,8 324,8 324,8 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-05 1 1 327,09 327,09 327,09 327,09 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-06 1 1 329,06 329,06 329,06 329,06 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-07 1 1 330,72 330,72 330,72 330,72 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-08 1 1 329,3 329,3 329,3 329,3 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-09 1 1 330,52 330,52 330,52 330,52 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-12 1 1 331,98 331,98 331,98 331,98 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-13 1 1 324,03 324,03 324,03 324,03 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-14 1 1 325,24 325,24 325,24 325,24 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-15 1 1 324,4 324,4 324,4 324,4 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-16 1 1 325,14 325,14 325,14 325,14 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-19 1 1 326,12 326,12 326,12 326,12 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-20 1 1 324,91 324,91 324,91 324,91 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-21 1 1 323,32 323,32 323,32 323,32 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-22 1 1 322,58 322,58 322,58 322,58 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-23 1 1 324,12 324,12 324,12 324,12 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-26 1 1 327,92 327,92 327,92 327,92 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-27 1 1 328,84 328,84 328,84 328,84 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-28 1 1 330,82 330,82 330,82 330,82 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-29 1 1 331,92 331,92 331,92 331,92 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-09-30 1 1 334,22 334,22 334,22 334,22 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-03 1 1 335,7 335,7 335,7 335,7 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-04 1 1 336,61 336,61 336,61 336,61 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-05 1 1 334,32 334,32 334,32 334,32 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-06 1 1 330,18 330,18 330,18 330,18 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-07 1 1 330,09 330,09 330,09 330,09 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-10 1 1 331,98 331,98 331,98 331,98 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-11 1 1 332,04 332,04 332,04 332,04 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-12 1 1 329,59 329,59 329,59 329,59 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-13 1 1 324,69 324,69 324,69 324,69 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-14 1 1 325,33 325,33 325,33 325,33 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-17 1 1 324,62 324,62 324,62 324,62 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-18 1 1 323,02 323,02 323,02 323,02 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-19 1 1 318,12 318,12 318,12 318,12 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-20 1 1 319,92 319,92 319,92 319,92 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-21 1 1 316,07 316,07 316,07 316,07 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-24 1 1 319,79 319,79 319,79 319,79 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-25 1 1 323,33 323,33 323,33 323,33 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-26 1 1 324,77 324,77 324,77 324,77 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-27 1 1 322,72 322,72 322,72 322,72 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-28 1 1 320,86 320,86 320,86 320,86 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-10-31 1 1 326,84 326,84 326,84 326,84 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-01 1 1 329,01 329,01 329,01 329,01 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-02 1 1 328,58 328,58 328,58 328,58 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-03 1 1 334,06 334,06 334,06 334,06 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-04 1 1 333,9 333,9 333,9 333,9 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-07 1 1 336,24 336,24 336,24 336,24 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-08 1 1 335,65 335,65 335,65 335,65 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-09 1 1 335,25 335,25 335,25 335,25 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-10 1 1 336,31 336,31 336,31 336,31 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-11 1 1 338,6 338,6 338,6 338,6 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-14 1 1 340,86 340,86 340,86 340,86 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-15 1 1 339,12 339,12 339,12 339,12 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-16 1 1 338,68 338,68 338,68 338,68 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-17 1 1 340,24 340,24 340,24 340,24 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-18 1 1 341,83 341,83 341,83 341,83 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-21 1 1 341,97 341,97 341,97 341,97 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-22 1 1 342,58 342,58 342,58 342,58 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-23 1 1 342,14 342,14 342,14 342,14 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-24 1 1 341,28 341,28 341,28 341,28 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-25 1 1 343,2 343,2 343,2 343,2 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-28 1 1 344,79 344,79 344,79 344,79 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-29 1 1 343,4 343,4 343,4 343,4 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-11-30 1 1 341,05 341,05 341,05 341,05 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-01 1 1 344,25 344,25 344,25 344,25 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-02 1 1 347,98 347,98 347,98 347,98 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-05 1 1 348,32 348,32 348,32 348,32 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-06 1 1 349,68 349,68 349,68 349,68 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-07 1 1 349,48 349,48 349,48 349,48 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-08 1 1 350,19 350,19 350,19 350,19 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-12 1 1 351,66 351,66 351,66 351,66 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-13 1 1 351,38 351,38 351,38 351,38 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-14 1 1 349,94 349,94 349,94 349,94 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-15 1 1 349,83 349,83 349,83 349,83 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-16 1 1 350,65 350,65 350,65 350,65 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-19 1 1 353,03 353,03 353,03 353,03 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-20 1 1 352,02 352,02 352,02 352,02 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-21 1 1 353,8 353,8 353,8 353,8 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-22 1 1 355,22 355,22 355,22 355,22 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-23 1 1 358,67 358,67 358,67 358,67 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-27 1 1 360,91 360,91 360,91 360,91 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-28 1 1 360,53 360,53 360,53 360,53 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-29 1 1 361,76 361,76 361,76 361,76 104844 Handelsbanken Fonder AB SPP Aktiefond Sverige SEK 2005-12-30 1 1 360,78 360,78 360,78 360,78 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-03 1 1 81,11 81,11 81,11 81,11 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-04 1 1 81,49 81,49 81,49 81,49 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-05 1 1 81,14 81,14 81,14 81,14 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-07 1 1 81,77 81,77 81,77 81,77 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-10 1 1 81,9 81,9 81,9 81,9 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-11 1 1 81,24 81,24 81,24 81,24 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-12 1 1 81,28 81,28 81,28 81,28 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-13 1 1 80,62 80,62 80,62 80,62 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-14 1 1 81,17 81,17 81,17 81,17 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-17 1 1 81,36 81,36 81,36 81,36 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-18 1 1 81,08 81,08 81,08 81,08 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-19 1 1 81,62 81,62 81,62 81,62 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-20 1 1 80,94 80,94 80,94 80,94 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-21 1 1 81,21 81,21 81,21 81,21 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-24 1 1 81,07 81,07 81,07 81,07 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-25 1 1 81,71 81,71 81,71 81,71 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-26 1 1 82,13 82,13 82,13 82,13 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-27 1 1 82,13 82,13 82,13 82,13 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-28 1 1 82,49 82,49 82,49 82,49 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-01-31 1 1 82,87 82,87 82,87 82,87 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-01 1 1 83,14 83,14 83,14 83,14 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-02 1 1 83,48 83,48 83,48 83,48 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-03 1 1 83,34 83,34 83,34 83,34 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-04 1 1 83,73 83,73 83,73 83,73 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-07 1 1 84,55 84,55 84,55 84,55 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-08 1 1 84,66 84,66 84,66 84,66 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-09 1 1 85,1 85,1 85,1 85,1 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-10 1 1 84,87 84,87 84,87 84,87 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-11 1 1 85,25 85,25 85,25 85,25 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-14 1 1 85,75 85,75 85,75 85,75 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-15 1 1 85,67 85,67 85,67 85,67 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-16 1 1 85,29 85,29 85,29 85,29 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-17 1 1 85,89 85,89 85,89 85,89 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-18 1 1 85,75 85,75 85,75 85,75 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-21 1 1 85,98 85,98 85,98 85,98 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-22 1 1 84,95 84,95 84,95 84,95 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-23 1 1 84,7 84,7 84,7 84,7 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-24 1 1 84,39 84,39 84,39 84,39 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-25 1 1 84,98 84,98 84,98 84,98 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-02-28 1 1 85,32 85,32 85,32 85,32 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-01 1 1 85,32 85,32 85,32 85,32 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-02 1 1 85,44 85,44 85,44 85,44 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-03 1 1 85,65 85,65 85,65 85,65 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-04 1 1 85,78 85,78 85,78 85,78 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-07 1 1 85,89 85,89 85,89 85,89 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-08 1 1 85,98 85,98 85,98 85,98 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-09 1 1 85,3 85,3 85,3 85,3 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-10 1 1 84,74 84,74 84,74 84,74 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-11 1 1 84,9 84,9 84,9 84,9 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-14 1 1 84,76 84,76 84,76 84,76 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-15 1 1 85,62 85,62 85,62 85,62 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-16 1 1 84,79 84,79 84,79 84,79 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-17 1 1 84,71 84,71 84,71 84,71 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-18 1 1 85,14 85,14 85,14 85,14 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-21 1 1 85,29 85,29 85,29 85,29 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-22 1 1 84,66 84,66 84,66 84,66 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-23 1 1 84,36 84,36 84,36 84,36 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-24 1 1 84,69 84,69 84,69 84,69 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-29 1 1 85,08 85,08 85,08 85,08 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-30 1 1 85,32 85,32 85,32 85,32 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-03-31 1 1 85,73 85,73 85,73 85,73 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-01 1 1 86,07 86,07 86,07 86,07 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-04 1 1 85,43 85,43 85,43 85,43 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-05 1 1 85,98 85,98 85,98 85,98 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-06 1 1 86,41 86,41 86,41 86,41 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-07 1 1 86,53 86,53 86,53 86,53 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-08 1 1 87,15 87,15 87,15 87,15 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-11 1 1 86,86 86,86 86,86 86,86 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-12 1 1 86,49 86,49 86,49 86,49 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-13 1 1 86,73 86,73 86,73 86,73 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-14 1 1 86,75 86,75 86,75 86,75 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-15 1 1 85,89 85,89 85,89 85,89 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-18 1 1 84,42 84,42 84,42 84,42 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-19 1 1 84,86 84,86 84,86 84,86 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-20 1 1 84,88 84,88 84,88 84,88 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-21 1 1 84,42 84,42 84,42 84,42 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-22 1 1 84,74 84,74 84,74 84,74 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-25 1 1 84,8 84,8 84,8 84,8 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-26 1 1 84,61 84,61 84,61 84,61 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-27 1 1 84,08 84,08 84,08 84,08 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-28 1 1 83,93 83,93 83,93 83,93 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-04-29 1 1 84,61 84,61 84,61 84,61 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-02 1 1 85,07 85,07 85,07 85,07 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-03 1 1 85,55 85,55 85,55 85,55 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-04 1 1 85,11 85,11 85,11 85,11 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-06 1 1 86,24 86,24 86,24 86,24 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-09 1 1 86,34 86,34 86,34 86,34 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-10 1 1 85,93 85,93 85,93 85,93 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-11 1 1 86,02 86,02 86,02 86,02 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-12 1 1 86,56 86,56 86,56 86,56 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-13 1 1 86,08 86,08 86,08 86,08 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-16 1 1 86,14 86,14 86,14 86,14 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-17 1 1 86,07 86,07 86,07 86,07 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-18 1 1 86,76 86,76 86,76 86,76 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-19 1 1 87,26 87,26 87,26 87,26 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-20 1 1 87,46 87,46 87,46 87,46 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-23 1 1 87,75 87,75 87,75 87,75 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-24 1 1 87,73 87,73 87,73 87,73 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-25 1 1 87,82 87,82 87,82 87,82 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-26 1 1 88,42 88,42 88,42 88,42 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-27 1 1 88,28 88,28 88,28 88,28 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-30 1 1 88,53 88,53 88,53 88,53 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-05-31 1 1 88,71 88,71 88,71 88,71 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-01 1 1 88,87 88,87 88,87 88,87 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-02 1 1 89,59 89,59 89,59 89,59 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-03 1 1 89,57 89,57 89,57 89,57 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-07 1 1 89,43 89,43 89,43 89,43 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-08 1 1 90,55 90,55 90,55 90,55 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-09 1 1 90,12 90,12 90,12 90,12 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-10 1 1 91,3 91,3 91,3 91,3 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-13 1 1 91,46 91,46 91,46 91,46 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-14 1 1 91,91 91,91 91,91 91,91 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-15 1 1 91,89 91,89 91,89 91,89 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-16 1 1 91,77 91,77 91,77 91,77 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-17 1 1 92,11 92,11 92,11 92,11 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-20 1 1 91,51 91,51 91,51 91,51 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-21 1 1 92,43 92,43 92,43 92,43 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-22 1 1 93,05 93,05 93,05 93,05 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-23 1 1 94,12 94,12 94,12 94,12 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-27 1 1 92,67 92,67 92,67 92,67 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-28 1 1 93,48 93,48 93,48 93,48 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-29 1 1 94,38 94,38 94,38 94,38 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-06-30 1 1 94,29 94,29 94,29 94,29 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-01 1 1 94,8 94,8 94,8 94,8 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-04 1 1 95,53 95,53 95,53 95,53 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-05 1 1 94,83 94,83 94,83 94,83 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-06 1 1 95,05 95,05 95,05 95,05 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-07 1 1 93,24 93,24 93,24 93,24 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-08 1 1 94,96 94,96 94,96 94,96 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-11 1 1 96,06 96,06 96,06 96,06 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-12 1 1 95,63 95,63 95,63 95,63 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-13 1 1 95,13 95,13 95,13 95,13 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-14 1 1 96,23 96,23 96,23 96,23 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-15 1 1 96,18 96,18 96,18 96,18 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-18 1 1 95,63 95,63 95,63 95,63 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-19 1 1 96,3 96,3 96,3 96,3 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-20 1 1 96,07 96,07 96,07 96,07 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-21 1 1 96,42 96,42 96,42 96,42 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-22 1 1 95,96 95,96 95,96 95,96 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-25 1 1 96,24 96,24 96,24 96,24 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-26 1 1 97,16 97,16 97,16 97,16 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-27 1 1 97,16 97,16 97,16 97,16 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-28 1 1 97,17 97,17 97,17 97,17 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-07-29 1 1 97,71 97,71 97,71 97,71 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-01 1 1 97,27 97,27 97,27 97,27 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-02 1 1 97,37 97,37 97,37 97,37 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-03 1 1 97,62 97,62 97,62 97,62 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-04 1 1 96,56 96,56 96,56 96,56 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-05 1 1 96,55 96,55 96,55 96,55 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-08 1 1 96,72 96,72 96,72 96,72 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-09 1 1 97,37 97,37 97,37 97,37 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-10 1 1 98,29 98,29 98,29 98,29 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-11 1 1 97,76 97,76 97,76 97,76 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-12 1 1 97,46 97,46 97,46 97,46 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-15 1 1 97,56 97,56 97,56 97,56 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-16 1 1 97,72 97,72 97,72 97,72 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-17 1 1 97,1 97,1 97,1 97,1 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-18 1 1 96,77 96,77 96,77 96,77 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-19 1 1 97,46 97,46 97,46 97,46 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-22 1 1 98,21 98,21 98,21 98,21 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-23 1 1 97,65 97,65 97,65 97,65 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-24 1 1 96,61 96,61 96,61 96,61 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-25 1 1 96,14 96,14 96,14 96,14 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-26 1 1 96,04 96,04 96,04 96,04 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-29 1 1 95,18 95,18 95,18 95,18 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-30 1 1 95,99 95,99 95,99 95,99 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-08-31 1 1 96,41 96,41 96,41 96,41 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-01 1 1 97,14 97,14 97,14 97,14 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-02 1 1 96,2 96,2 96,2 96,2 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-05 1 1 96,83 96,83 96,83 96,83 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-06 1 1 97,76 97,76 97,76 97,76 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-07 1 1 98,41 98,41 98,41 98,41 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-08 1 1 98,22 98,22 98,22 98,22 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-09 1 1 98,67 98,67 98,67 98,67 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-12 1 1 98,47 98,47 98,47 98,47 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-13 1 1 96,1 96,1 96,1 96,1 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-14 1 1 96,49 96,49 96,49 96,49 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-15 1 1 96,75 96,75 96,75 96,75 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-16 1 1 97,49 97,49 97,49 97,49 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-19 1 1 97,79 97,79 97,79 97,79 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-20 1 1 98,04 98,04 98,04 98,04 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-21 1 1 96,94 96,94 96,94 96,94 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-22 1 1 96,41 96,41 96,41 96,41 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-23 1 1 97,16 97,16 97,16 97,16 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-26 1 1 98,25 98,25 98,25 98,25 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-27 1 1 98,59 98,59 98,59 98,59 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-28 1 1 99,1 99,1 99,1 99,1 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-29 1 1 98,98 98,98 98,98 98,98 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-09-30 1 1 98,66 98,66 98,66 98,66 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-03 1 1 99,2 99,2 99,2 99,2 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-04 1 1 99,39 99,39 99,39 99,39 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-05 1 1 98,82 98,82 98,82 98,82 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-06 1 1 97,16 97,16 97,16 97,16 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-07 1 1 96,92 96,92 96,92 96,92 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-10 1 1 97,81 97,81 97,81 97,81 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-11 1 1 97,85 97,85 97,85 97,85 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-12 1 1 97,13 97,13 97,13 97,13 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-13 1 1 96,1 96,1 96,1 96,1 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-14 1 1 97 97 97 97 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-17 1 1 97,61 97,61 97,61 97,61 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-18 1 1 97,45 97,45 97,45 97,45 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-19 1 1 96,08 96,08 96,08 96,08 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-20 1 1 96,91 96,91 96,91 96,91 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-21 1 1 96,08 96,08 96,08 96,08 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-24 1 1 97,14 97,14 97,14 97,14 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-25 1 1 96,99 96,99 96,99 96,99 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-26 1 1 97,02 97,02 97,02 97,02 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-27 1 1 96,51 96,51 96,51 96,51 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-28 1 1 96,52 96,52 96,52 96,52 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-10-31 1 1 98,34 98,34 98,34 98,34 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-01 1 1 99,34 99,34 99,34 99,34 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-02 1 1 99,18 99,18 99,18 99,18 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-03 1 1 100,98 100,98 100,98 100,98 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-04 1 1 100,99 100,99 100,99 100,99 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-07 1 1 101,41 101,41 101,41 101,41 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-08 1 1 101,28 101,28 101,28 101,28 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-09 1 1 101,12 101,12 101,12 101,12 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-10 1 1 101,61 101,61 101,61 101,61 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-11 1 1 102,1 102,1 102,1 102,1 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-14 1 1 102,16 102,16 102,16 102,16 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-15 1 1 102,51 102,51 102,51 102,51 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-16 1 1 101,3 101,3 101,3 101,3 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-17 1 1 102,39 102,39 102,39 102,39 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-18 1 1 102,69 102,69 102,69 102,69 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-21 1 1 102,06 102,06 102,06 102,06 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-22 1 1 102,39 102,39 102,39 102,39 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-23 1 1 102,21 102,21 102,21 102,21 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-24 1 1 101,82 101,82 101,82 101,82 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-25 1 1 101,87 101,87 101,87 101,87 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-28 1 1 101,99 101,99 101,99 101,99 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-29 1 1 101,98 101,98 101,98 101,98 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-11-30 1 1 101,61 101,61 101,61 101,61 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-01 1 1 102,28 102,28 102,28 102,28 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-02 1 1 102,49 102,49 102,49 102,49 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-05 1 1 102,52 102,52 102,52 102,52 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-06 1 1 102,34 102,34 102,34 102,34 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-07 1 1 102,83 102,83 102,83 102,83 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-08 1 1 102,41 102,41 102,41 102,41 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-12 1 1 102,53 102,53 102,53 102,53 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-13 1 1 102,89 102,89 102,89 102,89 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-14 1 1 102,52 102,52 102,52 102,52 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-15 1 1 102,15 102,15 102,15 102,15 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-16 1 1 103,2 103,2 103,2 103,2 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-19 1 1 102,6 102,6 102,6 102,6 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-20 1 1 102,39 102,39 102,39 102,39 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-21 1 1 103,47 103,47 103,47 103,47 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-22 1 1 103,42 103,42 103,42 103,42 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-23 1 1 103,83 103,83 103,83 103,83 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-27 1 1 104,14 104,14 104,14 104,14 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-28 1 1 103,69 103,69 103,69 103,69 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-29 1 1 103,55 103,55 103,55 103,55 140673 Handelsbanken Fonder AB SPP Aktieindexfond Europa SEK 2005-12-30 1 1 102,84 102,84 102,84 102,84 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-03 1 1 54,73 54,73 54,73 54,73 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-04 1 1 55,41 55,41 55,41 55,41 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-05 1 1 54,76 54,76 54,76 54,76 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-07 1 1 55,06 55,06 55,06 55,06 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-10 1 1 55,56 55,56 55,56 55,56 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-11 1 1 55,98 55,98 55,98 55,98 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-12 1 1 55,91 55,91 55,91 55,91 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-13 1 1 55,44 55,44 55,44 55,44 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-14 1 1 55,87 55,87 55,87 55,87 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-17 1 1 56,53 56,53 56,53 56,53 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-18 1 1 56,45 56,45 56,45 56,45 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-19 1 1 55,99 55,99 55,99 55,99 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-20 1 1 55,59 55,59 55,59 55,59 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-21 1 1 55,17 55,17 55,17 55,17 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-24 1 1 55,57 55,57 55,57 55,57 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-25 1 1 55,44 55,44 55,44 55,44 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-26 1 1 55,8 55,8 55,8 55,8 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-27 1 1 55,09 55,09 55,09 55,09 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-28 1 1 55,62 55,62 55,62 55,62 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-01-31 1 1 55,76 55,76 55,76 55,76 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-01 1 1 55,5 55,5 55,5 55,5 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-02 1 1 55,49 55,49 55,49 55,49 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-03 1 1 55,2 55,2 55,2 55,2 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-04 1 1 55,16 55,16 55,16 55,16 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-07 1 1 56,07 56,07 56,07 56,07 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-08 1 1 56,16 56,16 56,16 56,16 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-09 1 1 56,03 56,03 56,03 56,03 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-10 1 1 56,11 56,11 56,11 56,11 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-11 1 1 56,01 56,01 56,01 56,01 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-14 1 1 56,58 56,58 56,58 56,58 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-15 1 1 56,26 56,26 56,26 56,26 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-16 1 1 55,97 55,97 55,97 55,97 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-17 1 1 55,62 55,62 55,62 55,62 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-18 1 1 55,83 55,83 55,83 55,83 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-21 1 1 55,68 55,68 55,68 55,68 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-22 1 1 55,53 55,53 55,53 55,53 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-23 1 1 54,68 54,68 54,68 54,68 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-24 1 1 54,55 54,55 54,55 54,55 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-25 1 1 54,89 54,89 54,89 54,89 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-02-28 1 1 55,3 55,3 55,3 55,3 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-01 1 1 55,49 55,49 55,49 55,49 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-02 1 1 55,89 55,89 55,89 55,89 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-03 1 1 56,08 56,08 56,08 56,08 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-04 1 1 55,88 55,88 55,88 55,88 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-07 1 1 56,09 56,09 56,09 56,09 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-08 1 1 55,8 55,8 55,8 55,8 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-09 1 1 55,73 55,73 55,73 55,73 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-10 1 1 55,58 55,58 55,58 55,58 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-11 1 1 55,79 55,79 55,79 55,79 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-14 1 1 55,22 55,22 55,22 55,22 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-15 1 1 55,32 55,32 55,32 55,32 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-16 1 1 55,99 55,99 55,99 55,99 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-17 1 1 55,47 55,47 55,47 55,47 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-18 1 1 55,72 55,72 55,72 55,72 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-21 1 1 56,3 56,3 56,3 56,3 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-22 1 1 56,32 56,32 56,32 56,32 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-23 1 1 56,22 56,22 56,22 56,22 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-24 1 1 55,6 55,6 55,6 55,6 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-29 1 1 55,24 55,24 55,24 55,24 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-30 1 1 54,97 54,97 54,97 54,97 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-03-31 1 1 55,53 55,53 55,53 55,53 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-01 1 1 55,58 55,58 55,58 55,58 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-04 1 1 55,6 55,6 55,6 55,6 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-05 1 1 55,92 55,92 55,92 55,92 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-06 1 1 56,36 56,36 56,36 56,36 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-07 1 1 55,91 55,91 55,91 55,91 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-08 1 1 56,43 56,43 56,43 56,43 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-11 1 1 55,65 55,65 55,65 55,65 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-12 1 1 55,13 55,13 55,13 55,13 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-13 1 1 55,26 55,26 55,26 55,26 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-14 1 1 55,18 55,18 55,18 55,18 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-15 1 1 54,47 54,47 54,47 54,47 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-18 1 1 52,42 52,42 52,42 52,42 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-19 1 1 53 53 53 53 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-20 1 1 53,12 53,12 53,12 53,12 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-21 1 1 52,77 52,77 52,77 52,77 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-22 1 1 52,81 52,81 52,81 52,81 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-25 1 1 53,5 53,5 53,5 53,5 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-26 1 1 53,33 53,33 53,33 53,33 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-27 1 1 53,56 53,56 53,56 53,56 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-28 1 1 53,64 53,64 53,64 53,64 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-04-29 1 1 53,89 53,89 53,89 53,89 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-02 1 1 54,48 54,48 54,48 54,48 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-03 1 1 54,7 54,7 54,7 54,7 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-04 1 1 54,33 54,33 54,33 54,33 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-06 1 1 55,33 55,33 55,33 55,33 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-09 1 1 55,61 55,61 55,61 55,61 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-10 1 1 55,23 55,23 55,23 55,23 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-11 1 1 54,93 54,93 54,93 54,93 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-12 1 1 55,03 55,03 55,03 55,03 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-13 1 1 54,72 54,72 54,72 54,72 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-16 1 1 54,31 54,31 54,31 54,31 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-17 1 1 54,22 54,22 54,22 54,22 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-18 1 1 53,64 53,64 53,64 53,64 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-19 1 1 54,73 54,73 54,73 54,73 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-20 1 1 54,69 54,69 54,69 54,69 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-23 1 1 55,19 55,19 55,19 55,19 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-24 1 1 55,28 55,28 55,28 55,28 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-25 1 1 54,91 54,91 54,91 54,91 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-26 1 1 54,72 54,72 54,72 54,72 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-27 1 1 55,39 55,39 55,39 55,39 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-30 1 1 55,74 55,74 55,74 55,74 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-05-31 1 1 55,98 55,98 55,98 55,98 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-01 1 1 56,36 56,36 56,36 56,36 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-02 1 1 56,73 56,73 56,73 56,73 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-03 1 1 56,58 56,58 56,58 56,58 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-07 1 1 56,81 56,81 56,81 56,81 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-08 1 1 56,99 56,99 56,99 56,99 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-09 1 1 56,98 56,98 56,98 56,98 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-10 1 1 57,26 57,26 57,26 57,26 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-13 1 1 57,63 57,63 57,63 57,63 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-14 1 1 57,44 57,44 57,44 57,44 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-15 1 1 58,19 58,19 58,19 58,19 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-16 1 1 58,05 58,05 58,05 58,05 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-17 1 1 58,6 58,6 58,6 58,6 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-20 1 1 57,52 57,52 57,52 57,52 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-21 1 1 57,87 57,87 57,87 57,87 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-22 1 1 58,38 58,38 58,38 58,38 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-23 1 1 59,18 59,18 59,18 59,18 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-27 1 1 58,24 58,24 58,24 58,24 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-28 1 1 58,61 58,61 58,61 58,61 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-29 1 1 59,54 59,54 59,54 59,54 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-06-30 1 1 59,72 59,72 59,72 59,72 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-01 1 1 59,67 59,67 59,67 59,67 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-04 1 1 60,29 60,29 60,29 60,29 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-05 1 1 60,19 60,19 60,19 60,19 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-06 1 1 59,83 59,83 59,83 59,83 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-07 1 1 59,33 59,33 59,33 59,33 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-08 1 1 59,27 59,27 59,27 59,27 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-11 1 1 59,55 59,55 59,55 59,55 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-12 1 1 59,38 59,38 59,38 59,38 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-13 1 1 58,85 58,85 58,85 58,85 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-14 1 1 59,21 59,21 59,21 59,21 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-15 1 1 59,29 59,29 59,29 59,29 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-18 1 1 59,44 59,44 59,44 59,44 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-19 1 1 59,52 59,52 59,52 59,52 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-20 1 1 59,11 59,11 59,11 59,11 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-21 1 1 59,19 59,19 59,19 59,19 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-22 1 1 59,57 59,57 59,57 59,57 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-25 1 1 59,51 59,51 59,51 59,51 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-26 1 1 59,25 59,25 59,25 59,25 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-27 1 1 59,85 59,85 59,85 59,85 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-28 1 1 59,71 59,71 59,71 59,71 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-07-29 1 1 59,53 59,53 59,53 59,53 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-01 1 1 59,48 59,48 59,48 59,48 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-02 1 1 59,66 59,66 59,66 59,66 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-03 1 1 59,48 59,48 59,48 59,48 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-04 1 1 59,2 59,2 59,2 59,2 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-05 1 1 57,9 57,9 57,9 57,9 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-08 1 1 57,66 57,66 57,66 57,66 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-09 1 1 58,24 58,24 58,24 58,24 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-10 1 1 59,83 59,83 59,83 59,83 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-11 1 1 60,9 60,9 60,9 60,9 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-12 1 1 60,86 60,86 60,86 60,86 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-15 1 1 61,31 61,31 61,31 61,31 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-16 1 1 61,73 61,73 61,73 61,73 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-17 1 1 61,81 61,81 61,81 61,81 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-18 1 1 61,97 61,97 61,97 61,97 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-19 1 1 62,26 62,26 62,26 62,26 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-22 1 1 63,65 63,65 63,65 63,65 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-23 1 1 63,56 63,56 63,56 63,56 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-24 1 1 63,61 63,61 63,61 63,61 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-25 1 1 62,81 62,81 62,81 62,81 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-26 1 1 62,92 62,92 62,92 62,92 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-29 1 1 61,92 61,92 61,92 61,92 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-30 1 1 63,05 63,05 63,05 63,05 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-08-31 1 1 62,83 62,83 62,83 62,83 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-01 1 1 62,51 62,51 62,51 62,51 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-02 1 1 62,45 62,45 62,45 62,45 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-05 1 1 62,7 62,7 62,7 62,7 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-06 1 1 63,11 63,11 63,11 63,11 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-07 1 1 62,8 62,8 62,8 62,8 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-08 1 1 62,78 62,78 62,78 62,78 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-09 1 1 63,57 63,57 63,57 63,57 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-12 1 1 65,05 65,05 65,05 65,05 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-13 1 1 64,07 64,07 64,07 64,07 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-14 1 1 64,13 64,13 64,13 64,13 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-15 1 1 65,23 65,23 65,23 65,23 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-16 1 1 65,03 65,03 65,03 65,03 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-19 1 1 65,3 65,3 65,3 65,3 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-20 1 1 66,41 66,41 66,41 66,41 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-21 1 1 66,47 66,47 66,47 66,47 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-22 1 1 66,17 66,17 66,17 66,17 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-23 1 1 66,69 66,69 66,69 66,69 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-26 1 1 68,36 68,36 68,36 68,36 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-27 1 1 67,6 67,6 67,6 67,6 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-28 1 1 68,96 68,96 68,96 68,96 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-29 1 1 70,33 70,33 70,33 70,33 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-09-30 1 1 69,16 69,16 69,16 69,16 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-03 1 1 69,09 69,09 69,09 69,09 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-04 1 1 69,86 69,86 69,86 69,86 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-05 1 1 69,48 69,48 69,48 69,48 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-06 1 1 66,69 66,69 66,69 66,69 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-07 1 1 66,69 66,69 66,69 66,69 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-10 1 1 66,74 66,74 66,74 66,74 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-11 1 1 68,67 68,67 68,67 68,67 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-12 1 1 68,61 68,61 68,61 68,61 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-13 1 1 68,79 68,79 68,79 68,79 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-14 1 1 68,65 68,65 68,65 68,65 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-17 1 1 68,5 68,5 68,5 68,5 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-18 1 1 68,44 68,44 68,44 68,44 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-19 1 1 67,93 67,93 67,93 67,93 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-20 1 1 67,93 67,93 67,93 67,93 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-21 1 1 67,76 67,76 67,76 67,76 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-24 1 1 67,89 67,89 67,89 67,89 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-25 1 1 68,82 68,82 68,82 68,82 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-26 1 1 68,31 68,31 68,31 68,31 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-27 1 1 68,94 68,94 68,94 68,94 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-28 1 1 68,41 68,41 68,41 68,41 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-10-31 1 1 69,99 69,99 69,99 69,99 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-01 1 1 71,42 71,42 71,42 71,42 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-02 1 1 71,45 71,45 71,45 71,45 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-03 1 1 71,6 71,6 71,6 71,6 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-04 1 1 72,68 72,68 72,68 72,68 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-07 1 1 73,67 73,67 73,67 73,67 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-08 1 1 73,88 73,88 73,88 73,88 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-09 1 1 73,31 73,31 73,31 73,31 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-10 1 1 73,47 73,47 73,47 73,47 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-11 1 1 74,38 74,38 74,38 74,38 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-14 1 1 72,62 72,62 72,62 72,62 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-15 1 1 72,43 72,43 72,43 72,43 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-16 1 1 73,19 73,19 73,19 73,19 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-17 1 1 75,01 75,01 75,01 75,01 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-18 1 1 75,45 75,45 75,45 75,45 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-21 1 1 74,67 74,67 74,67 74,67 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-22 1 1 74,77 74,77 74,77 74,77 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-23 1 1 74,11 74,11 74,11 74,11 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-24 1 1 73,63 73,63 73,63 73,63 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-25 1 1 74,36 74,36 74,36 74,36 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-28 1 1 74,95 74,95 74,95 74,95 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-29 1 1 74,38 74,38 74,38 74,38 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-11-30 1 1 73,97 73,97 73,97 73,97 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-01 1 1 74,76 74,76 74,76 74,76 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-02 1 1 75,64 75,64 75,64 75,64 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-05 1 1 75,02 75,02 75,02 75,02 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-06 1 1 74,68 74,68 74,68 74,68 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-07 1 1 75,1 75,1 75,1 75,1 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-08 1 1 73,92 73,92 73,92 73,92 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-12 1 1 75,37 75,37 75,37 75,37 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-13 1 1 75,71 75,71 75,71 75,71 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-14 1 1 74,76 74,76 74,76 74,76 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-15 1 1 75,4 75,4 75,4 75,4 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-16 1 1 76,12 76,12 76,12 76,12 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-19 1 1 76,09 76,09 76,09 76,09 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-20 1 1 76,75 76,75 76,75 76,75 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-21 1 1 78,36 78,36 78,36 78,36 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-22 1 1 78,65 78,65 78,65 78,65 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-23 1 1 78,89 78,89 78,89 78,89 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-27 1 1 79,07 79,07 79,07 79,07 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-28 1 1 78,92 78,92 78,92 78,92 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-29 1 1 79,12 79,12 79,12 79,12 176503 Handelsbanken Fonder AB SPP Aktieindexfond Japan SEK 2005-12-30 1 1 78,78 78,78 78,78 78,78 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-03 1 1 32,69 32,69 32,69 32,69 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-04 1 1 32,63 32,63 32,63 32,63 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-05 1 1 32,59 32,59 32,59 32,59 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-07 1 1 32,62 32,62 32,62 32,62 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-10 1 1 33,04 33,04 33,04 33,04 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-11 1 1 32,92 32,92 32,92 32,92 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-12 1 1 32,44 32,44 32,44 32,44 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-13 1 1 32,5 32,5 32,5 32,5 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-14 1 1 32,26 32,26 32,26 32,26 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-17 1 1 32,89 32,89 32,89 32,89 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-18 1 1 32,9 32,9 32,9 32,9 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-19 1 1 33,26 33,26 33,26 33,26 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-20 1 1 32,63 32,63 32,63 32,63 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-21 1 1 32,2 32,2 32,2 32,2 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-24 1 1 31,86 31,86 31,86 31,86 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-25 1 1 31,34 31,34 31,34 31,34 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-26 1 1 31,81 31,81 31,81 31,81 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-27 1 1 31,91 31,91 31,91 31,91 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-28 1 1 32,01 32,01 32,01 32,01 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-01-31 1 1 31,95 31,95 31,95 31,95 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-01 1 1 32,33 32,33 32,33 32,33 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-02 1 1 32,41 32,41 32,41 32,41 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-03 1 1 32,35 32,35 32,35 32,35 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-04 1 1 32,22 32,22 32,22 32,22 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-07 1 1 32,79 32,79 32,79 32,79 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-08 1 1 32,96 32,96 32,96 32,96 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-09 1 1 33,21 33,21 33,21 33,21 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-10 1 1 32,53 32,53 32,53 32,53 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-11 1 1 32,37 32,37 32,37 32,37 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-14 1 1 32,93 32,93 32,93 32,93 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-15 1 1 32,8 32,8 32,8 32,8 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-16 1 1 32,96 32,96 32,96 32,96 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-17 1 1 32,85 32,85 32,85 32,85 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-18 1 1 32,23 32,23 32,23 32,23 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-21 1 1 32,15 32,15 32,15 32,15 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-22 1 1 32,17 32,17 32,17 32,17 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-23 1 1 31,29 31,29 31,29 31,29 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-24 1 1 31,45 31,45 31,45 31,45 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-25 1 1 31,79 31,79 31,79 31,79 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-02-28 1 1 32,01 32,01 32,01 32,01 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-01 1 1 31,41 31,41 31,41 31,41 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-02 1 1 31,92 31,92 31,92 31,92 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-03 1 1 32,17 32,17 32,17 32,17 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-04 1 1 31,72 31,72 31,72 31,72 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-07 1 1 31,63 31,63 31,63 31,63 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-08 1 1 32,24 32,24 32,24 32,24 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-09 1 1 31,54 31,54 31,54 31,54 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-10 1 1 31,44 31,44 31,44 31,44 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-11 1 1 31,4 31,4 31,4 31,4 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-14 1 1 30,9 30,9 30,9 30,9 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-15 1 1 31,36 31,36 31,36 31,36 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-16 1 1 31,24 31,24 31,24 31,24 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-17 1 1 30,65 30,65 30,65 30,65 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-18 1 1 30,84 30,84 30,84 30,84 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-21 1 1 31,03 31,03 31,03 31,03 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-22 1 1 31,32 31,32 31,32 31,32 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-23 1 1 30,86 30,86 30,86 30,86 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-24 1 1 31,43 31,43 31,43 31,43 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-29 1 1 31,46 31,46 31,46 31,46 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-30 1 1 31,53 31,53 31,53 31,53 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-03-31 1 1 32 32 32 32 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-01 1 1 31,8 31,8 31,8 31,8 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-04 1 1 31,63 31,63 31,63 31,63 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-05 1 1 32,2 32,2 32,2 32,2 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-06 1 1 32,29 32,29 32,29 32,29 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-07 1 1 32,13 32,13 32,13 32,13 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-08 1 1 32,39 32,39 32,39 32,39 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-11 1 1 32,29 32,29 32,29 32,29 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-12 1 1 31,82 31,82 31,82 31,82 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-13 1 1 32,19 32,19 32,19 32,19 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-14 1 1 31,58 31,58 31,58 31,58 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-15 1 1 31,44 31,44 31,44 31,44 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-18 1 1 30,46 30,46 30,46 30,46 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-19 1 1 30,35 30,35 30,35 30,35 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-20 1 1 30,52 30,52 30,52 30,52 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-21 1 1 30,14 30,14 30,14 30,14 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-22 1 1 30,88 30,88 30,88 30,88 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-25 1 1 30,35 30,35 30,35 30,35 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-26 1 1 30,82 30,82 30,82 30,82 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-27 1 1 30,54 30,54 30,54 30,54 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-28 1 1 30,59 30,59 30,59 30,59 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-04-29 1 1 30,43 30,43 30,43 30,43 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-02 1 1 30,82 30,82 30,82 30,82 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-03 1 1 31,08 31,08 31,08 31,08 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-04 1 1 31,05 31,05 31,05 31,05 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-06 1 1 31,31 31,31 31,31 31,31 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-09 1 1 31,65 31,65 31,65 31,65 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-10 1 1 31,87 31,87 31,87 31,87 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-11 1 1 31,57 31,57 31,57 31,57 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-12 1 1 31,97 31,97 31,97 31,97 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-13 1 1 32,11 32,11 32,11 32,11 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-16 1 1 32,61 32,61 32,61 32,61 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-17 1 1 32,98 32,98 32,98 32,98 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-18 1 1 33,09 33,09 33,09 33,09 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-19 1 1 33,45 33,45 33,45 33,45 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-20 1 1 33,79 33,79 33,79 33,79 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-23 1 1 34,04 34,04 34,04 34,04 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-24 1 1 34,1 34,1 34,1 34,1 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-25 1 1 34,23 34,23 34,23 34,23 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-26 1 1 34,04 34,04 34,04 34,04 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-27 1 1 34,64 34,64 34,64 34,64 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-30 1 1 34,6 34,6 34,6 34,6 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-05-31 1 1 34,73 34,73 34,73 34,73 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-01 1 1 34,79 34,79 34,79 34,79 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-02 1 1 35,4 35,4 35,4 35,4 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-03 1 1 35,55 35,55 35,55 35,55 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-07 1 1 35,03 35,03 35,03 35,03 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-08 1 1 34,69 34,69 34,69 34,69 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-09 1 1 34,66 34,66 34,66 34,66 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-10 1 1 35,37 35,37 35,37 35,37 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-13 1 1 35,27 35,27 35,27 35,27 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-14 1 1 35,94 35,94 35,94 35,94 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-15 1 1 35,73 35,73 35,73 35,73 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-16 1 1 35,7 35,7 35,7 35,7 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-17 1 1 35,91 35,91 35,91 35,91 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-20 1 1 35,24 35,24 35,24 35,24 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-21 1 1 35,62 35,62 35,62 35,62 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-22 1 1 35,65 35,65 35,65 35,65 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-23 1 1 35,8 35,8 35,8 35,8 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-27 1 1 35,86 35,86 35,86 35,86 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-28 1 1 35,11 35,11 35,11 35,11 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-29 1 1 35,76 35,76 35,76 35,76 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-06-30 1 1 35,84 35,84 35,84 35,84 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-01 1 1 35,5 35,5 35,5 35,5 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-04 1 1 35,97 35,97 35,97 35,97 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-05 1 1 36,11 36,11 36,11 36,11 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-06 1 1 36,25 36,25 36,25 36,25 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-07 1 1 35,91 35,91 35,91 35,91 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-08 1 1 36,06 36,06 36,06 36,06 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-11 1 1 36,93 36,93 36,93 36,93 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-12 1 1 36,96 36,96 36,96 36,96 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-13 1 1 36,62 36,62 36,62 36,62 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-14 1 1 36,8 36,8 36,8 36,8 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-15 1 1 37,2 37,2 37,2 37,2 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-18 1 1 37,51 37,51 37,51 37,51 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-19 1 1 37,29 37,29 37,29 37,29 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-20 1 1 38,06 38,06 38,06 38,06 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-21 1 1 38,42 38,42 38,42 38,42 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-22 1 1 38,11 38,11 38,11 38,11 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-25 1 1 38,02 38,02 38,02 38,02 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-26 1 1 37,89 37,89 37,89 37,89 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-27 1 1 38,25 38,25 38,25 38,25 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-28 1 1 38,5 38,5 38,5 38,5 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-07-29 1 1 38,38 38,38 38,38 38,38 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-01 1 1 37,93 37,93 37,93 37,93 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-02 1 1 37,77 37,77 37,77 37,77 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-03 1 1 38,03 38,03 38,03 38,03 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-04 1 1 37,79 37,79 37,79 37,79 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-05 1 1 37 37 37 37 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-08 1 1 36,94 36,94 36,94 36,94 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-09 1 1 36,55 36,55 36,55 36,55 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-10 1 1 36,94 36,94 36,94 36,94 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-11 1 1 36,45 36,45 36,45 36,45 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-12 1 1 36,45 36,45 36,45 36,45 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-15 1 1 36,29 36,29 36,29 36,29 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-16 1 1 36,67 36,67 36,67 36,67 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-17 1 1 36,25 36,25 36,25 36,25 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-18 1 1 36,55 36,55 36,55 36,55 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-19 1 1 36,76 36,76 36,76 36,76 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-22 1 1 37 37 37 37 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-23 1 1 36,77 36,77 36,77 36,77 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-24 1 1 36,66 36,66 36,66 36,66 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-25 1 1 36,24 36,24 36,24 36,24 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-26 1 1 36,25 36,25 36,25 36,25 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-29 1 1 35,91 35,91 35,91 35,91 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-30 1 1 36,43 36,43 36,43 36,43 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-08-31 1 1 36,53 36,53 36,53 36,53 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-01 1 1 36,58 36,58 36,58 36,58 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-02 1 1 35,93 35,93 35,93 35,93 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-05 1 1 35,44 35,44 35,44 35,44 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-06 1 1 35,6 35,6 35,6 35,6 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-07 1 1 36,28 36,28 36,28 36,28 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-08 1 1 36,44 36,44 36,44 36,44 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-09 1 1 36,58 36,58 36,58 36,58 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-12 1 1 36,74 36,74 36,74 36,74 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-13 1 1 36,72 36,72 36,72 36,72 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-14 1 1 36,78 36,78 36,78 36,78 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-15 1 1 36,3 36,3 36,3 36,3 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-16 1 1 36,53 36,53 36,53 36,53 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-19 1 1 36,83 36,83 36,83 36,83 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-20 1 1 36,72 36,72 36,72 36,72 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-21 1 1 36,48 36,48 36,48 36,48 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-22 1 1 35,98 35,98 35,98 35,98 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-23 1 1 36,34 36,34 36,34 36,34 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-26 1 1 36,78 36,78 36,78 36,78 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-27 1 1 36,93 36,93 36,93 36,93 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-28 1 1 36,95 36,95 36,95 36,95 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-29 1 1 36,93 36,93 36,93 36,93 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-09-30 1 1 37,23 37,23 37,23 37,23 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-03 1 1 37,29 37,29 37,29 37,29 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-04 1 1 37,84 37,84 37,84 37,84 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-05 1 1 37,46 37,46 37,46 37,46 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-06 1 1 36,83 36,83 36,83 36,83 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-07 1 1 35,92 35,92 35,92 35,92 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-10 1 1 36,12 36,12 36,12 36,12 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-11 1 1 36,16 36,16 36,16 36,16 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-12 1 1 36,09 36,09 36,09 36,09 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-13 1 1 35,6 35,6 35,6 35,6 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-14 1 1 36,42 36,42 36,42 36,42 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-17 1 1 36,4 36,4 36,4 36,4 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-18 1 1 36,73 36,73 36,73 36,73 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-19 1 1 36,74 36,74 36,74 36,74 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-20 1 1 37,3 37,3 37,3 37,3 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-21 1 1 37,07 37,07 37,07 37,07 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-24 1 1 37,3 37,3 37,3 37,3 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-25 1 1 38,18 38,18 38,18 38,18 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-26 1 1 37,48 37,48 37,48 37,48 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-27 1 1 37,33 37,33 37,33 37,33 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-28 1 1 36,4 36,4 36,4 36,4 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-10-31 1 1 36,92 36,92 36,92 36,92 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-01 1 1 37,86 37,86 37,86 37,86 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-02 1 1 37,97 37,97 37,97 37,97 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-03 1 1 38,39 38,39 38,39 38,39 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-04 1 1 39,03 39,03 39,03 39,03 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-07 1 1 39,77 39,77 39,77 39,77 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-08 1 1 39,94 39,94 39,94 39,94 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-09 1 1 39,81 39,81 39,81 39,81 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-10 1 1 40,12 40,12 40,12 40,12 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-11 1 1 40,73 40,73 40,73 40,73 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-14 1 1 40,65 40,65 40,65 40,65 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-15 1 1 40,67 40,67 40,67 40,67 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-16 1 1 40,82 40,82 40,82 40,82 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-17 1 1 41,03 41,03 41,03 41,03 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-18 1 1 41,37 41,37 41,37 41,37 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-21 1 1 41,53 41,53 41,53 41,53 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-22 1 1 41,37 41,37 41,37 41,37 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-23 1 1 41,52 41,52 41,52 41,52 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-24 1 1 41,22 41,22 41,22 41,22 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-25 1 1 41,18 41,18 41,18 41,18 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-28 1 1 41,35 41,35 41,35 41,35 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-29 1 1 40,68 40,68 40,68 40,68 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-11-30 1 1 40,83 40,83 40,83 40,83 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-01 1 1 40,69 40,69 40,69 40,69 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-02 1 1 41,59 41,59 41,59 41,59 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-05 1 1 41,5 41,5 41,5 41,5 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-06 1 1 40,97 40,97 40,97 40,97 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-07 1 1 40,82 40,82 40,82 40,82 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-08 1 1 40,99 40,99 40,99 40,99 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-12 1 1 40,6 40,6 40,6 40,6 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-13 1 1 40,43 40,43 40,43 40,43 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-14 1 1 40,63 40,63 40,63 40,63 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-15 1 1 40,12 40,12 40,12 40,12 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-16 1 1 40,57 40,57 40,57 40,57 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-19 1 1 40,05 40,05 40,05 40,05 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-20 1 1 39,35 39,35 39,35 39,35 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-21 1 1 39,69 39,69 39,69 39,69 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-22 1 1 40,12 40,12 40,12 40,12 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-23 1 1 40,39 40,39 40,39 40,39 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-27 1 1 40,35 40,35 40,35 40,35 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-28 1 1 40,04 40,04 40,04 40,04 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-29 1 1 39,61 39,61 39,61 39,61 882779 SPP Fonder AB SPP Aktieindexfond Nasdaq 100 SEK 2005-12-30 1 1 39,62 39,62 39,62 39,62 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-03 1 1 112,5 112,5 112,5 112,5 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-04 1 1 112,88 112,88 112,88 112,88 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-05 1 1 111,66 111,66 111,66 111,66 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-07 1 1 112,21 112,21 112,21 112,21 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-10 1 1 113,07 113,07 113,07 113,07 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-11 1 1 112,55 112,55 112,55 112,55 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-12 1 1 111,2 111,2 111,2 111,2 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-13 1 1 110,6 110,6 110,6 110,6 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-14 1 1 111,12 111,12 111,12 111,12 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-17 1 1 111,73 111,73 111,73 111,73 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-18 1 1 111 111 111 111 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-19 1 1 112,03 112,03 112,03 112,03 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-20 1 1 110,58 110,58 110,58 110,58 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-21 1 1 110,31 110,31 110,31 110,31 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-24 1 1 109,2 109,2 109,2 109,2 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-25 1 1 109,75 109,75 109,75 109,75 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-26 1 1 110,05 110,05 110,05 110,05 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-27 1 1 111,22 111,22 111,22 111,22 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-28 1 1 110,61 110,61 110,61 110,61 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-01-31 1 1 111,31 111,31 111,31 111,31 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-01 1 1 111,56 111,56 111,56 111,56 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-02 1 1 112,7 112,7 112,7 112,7 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-03 1 1 112,2 112,2 112,2 112,2 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-04 1 1 113 113 113 113 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-07 1 1 114,32 114,32 114,32 114,32 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-08 1 1 114,47 114,47 114,47 114,47 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-09 1 1 115,47 115,47 115,47 115,47 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-10 1 1 113,88 113,88 113,88 113,88 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-11 1 1 114,59 114,59 114,59 114,59 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-14 1 1 115,11 115,11 115,11 115,11 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-15 1 1 115,45 115,45 115,45 115,45 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-16 1 1 114,15 114,15 114,15 114,15 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-17 1 1 115,24 115,24 115,24 115,24 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-18 1 1 113,87 113,87 113,87 113,87 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-21 1 1 114,35 114,35 114,35 114,35 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-22 1 1 113,3 113,3 113,3 113,3 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-23 1 1 114,08 114,08 114,08 114,08 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-24 1 1 114,33 114,33 114,33 114,33 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-25 1 1 115,22 115,22 115,22 115,22 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-02-28 1 1 115,81 115,81 115,81 115,81 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-01 1 1 115,79 115,79 115,79 115,79 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-02 1 1 115,59 115,59 115,59 115,59 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-03 1 1 116,88 116,88 116,88 116,88 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-04 1 1 117,11 117,11 117,11 117,11 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-07 1 1 116,82 116,82 116,82 116,82 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-08 1 1 116,62 116,62 116,62 116,62 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-09 1 1 116,13 116,13 116,13 116,13 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-10 1 1 115,55 115,55 115,55 115,55 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-11 1 1 115,68 115,68 115,68 115,68 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-14 1 1 115,54 115,54 115,54 115,54 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-15 1 1 116,73 116,73 116,73 116,73 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-16 1 1 115,17 115,17 115,17 115,17 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-17 1 1 114,84 114,84 114,84 114,84 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-18 1 1 114,92 114,92 114,92 114,92 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-21 1 1 114,41 114,41 114,41 114,41 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-22 1 1 115,02 115,02 115,02 115,02 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-23 1 1 114,21 114,21 114,21 114,21 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-24 1 1 115,52 115,52 115,52 115,52 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-29 1 1 115,58 115,58 115,58 115,58 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-30 1 1 115,01 115,01 115,01 115,01 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-03-31 1 1 115,79 115,79 115,79 115,79 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-01 1 1 116,26 116,26 116,26 116,26 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-04 1 1 116,07 116,07 116,07 116,07 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-05 1 1 117,13 117,13 117,13 117,13 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-06 1 1 118,12 118,12 118,12 118,12 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-07 1 1 118,17 118,17 118,17 118,17 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-08 1 1 119,13 119,13 119,13 119,13 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-11 1 1 119,79 119,79 119,79 119,79 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-12 1 1 119,38 119,38 119,38 119,38 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-13 1 1 120,04 120,04 120,04 120,04 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-14 1 1 120,73 120,73 120,73 120,73 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-15 1 1 119,09 119,09 119,09 119,09 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-18 1 1 117,08 117,08 117,08 117,08 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-19 1 1 118 118 118 118 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-20 1 1 118,14 118,14 118,14 118,14 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-21 1 1 118,01 118,01 118,01 118,01 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-22 1 1 119,65 119,65 119,65 119,65 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-25 1 1 119,15 119,15 119,15 119,15 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-26 1 1 118,17 118,17 118,17 118,17 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-27 1 1 116,23 116,23 116,23 116,23 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-28 1 1 114,64 114,64 114,64 114,64 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-04-29 1 1 115,65 115,65 115,65 115,65 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-02 1 1 116,43 116,43 116,43 116,43 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-03 1 1 116,19 116,19 116,19 116,19 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-04 1 1 116,68 116,68 116,68 116,68 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-06 1 1 118,12 118,12 118,12 118,12 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-09 1 1 118,37 118,37 118,37 118,37 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-10 1 1 117,77 117,77 117,77 117,77 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-11 1 1 118,27 118,27 118,27 118,27 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-12 1 1 118,7 118,7 118,7 118,7 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-13 1 1 118,91 118,91 118,91 118,91 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-16 1 1 118,66 118,66 118,66 118,66 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-17 1 1 119,67 119,67 119,67 119,67 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-18 1 1 120,63 120,63 120,63 120,63 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-19 1 1 120,81 120,81 120,81 120,81 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-20 1 1 121,1 121,1 121,1 121,1 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-23 1 1 120,89 120,89 120,89 120,89 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-24 1 1 121,03 121,03 121,03 121,03 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-25 1 1 121,15 121,15 121,15 121,15 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-26 1 1 121,64 121,64 121,64 121,64 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-27 1 1 122,01 122,01 122,01 122,01 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-30 1 1 122,17 122,17 122,17 122,17 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-05-31 1 1 122,6 122,6 122,6 122,6 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-01 1 1 122,38 122,38 122,38 122,38 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-02 1 1 121,86 121,86 121,86 121,86 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-03 1 1 121,73 121,73 121,73 121,73 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-07 1 1 121,8 121,8 121,8 121,8 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-08 1 1 122,73 122,73 122,73 122,73 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-09 1 1 122,66 122,66 122,66 122,66 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-10 1 1 123,21 123,21 123,21 123,21 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-13 1 1 123,09 123,09 123,09 123,09 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-14 1 1 123,94 123,94 123,94 123,94 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-15 1 1 124,48 124,48 124,48 124,48 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-16 1 1 124,18 124,18 124,18 124,18 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-17 1 1 124,9 124,9 124,9 124,9 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-20 1 1 124,85 124,85 124,85 124,85 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-21 1 1 125,66 125,66 125,66 125,66 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-22 1 1 126,37 126,37 126,37 126,37 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-23 1 1 127,29 127,29 127,29 127,29 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-27 1 1 125,11 125,11 125,11 125,11 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-28 1 1 125,22 125,22 125,22 125,22 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-29 1 1 126,66 126,66 126,66 126,66 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-06-30 1 1 127,19 127,19 127,19 127,19 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-01 1 1 127,25 127,25 127,25 127,25 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-04 1 1 128,3 128,3 128,3 128,3 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-05 1 1 127,97 127,97 127,97 127,97 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-06 1 1 128,25 128,25 128,25 128,25 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-07 1 1 125,97 125,97 125,97 125,97 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-08 1 1 127,6 127,6 127,6 127,6 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-11 1 1 129,68 129,68 129,68 129,68 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-12 1 1 130,27 130,27 130,27 130,27 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-13 1 1 130,97 130,97 130,97 130,97 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-14 1 1 131,03 131,03 131,03 131,03 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-15 1 1 131,06 131,06 131,06 131,06 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-18 1 1 130,71 130,71 130,71 130,71 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-19 1 1 130,81 130,81 130,81 130,81 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-20 1 1 130,23 130,23 130,23 130,23 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-21 1 1 131,16 131,16 131,16 131,16 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-22 1 1 131,58 131,58 131,58 131,58 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-25 1 1 131,14 131,14 131,14 131,14 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-26 1 1 132,27 132,27 132,27 132,27 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-27 1 1 132,45 132,45 132,45 132,45 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-28 1 1 133,32 133,32 133,32 133,32 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-07-29 1 1 133,25 133,25 133,25 133,25 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-01 1 1 133,14 133,14 133,14 133,14 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-02 1 1 133,7 133,7 133,7 133,7 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-03 1 1 133,49 133,49 133,49 133,49 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-04 1 1 133,26 133,26 133,26 133,26 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-05 1 1 132,89 132,89 132,89 132,89 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-08 1 1 132,48 132,48 132,48 132,48 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-09 1 1 132,79 132,79 132,79 132,79 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-10 1 1 134,56 134,56 134,56 134,56 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-11 1 1 133,89 133,89 133,89 133,89 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-12 1 1 133,81 133,81 133,81 133,81 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-15 1 1 133,6 133,6 133,6 133,6 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-16 1 1 133,82 133,82 133,82 133,82 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-17 1 1 132,57 132,57 132,57 132,57 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-18 1 1 132,93 132,93 132,93 132,93 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-19 1 1 133,85 133,85 133,85 133,85 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-22 1 1 133,6 133,6 133,6 133,6 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-23 1 1 132,95 132,95 132,95 132,95 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-24 1 1 130,7 130,7 130,7 130,7 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-25 1 1 129,91 129,91 129,91 129,91 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-26 1 1 128,9 128,9 128,9 128,9 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-29 1 1 128,79 128,79 128,79 128,79 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-30 1 1 129,83 129,83 129,83 129,83 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-08-31 1 1 130,87 130,87 130,87 130,87 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-01 1 1 131,72 131,72 131,72 131,72 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-02 1 1 131,36 131,36 131,36 131,36 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-05 1 1 132,14 132,14 132,14 132,14 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-06 1 1 132,71 132,71 132,71 132,71 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-07 1 1 133,2 133,2 133,2 133,2 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-08 1 1 132,68 132,68 132,68 132,68 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-09 1 1 133,18 133,18 133,18 133,18 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-12 1 1 133,9 133,9 133,9 133,9 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-13 1 1 130,65 130,65 130,65 130,65 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-14 1 1 131,09 131,09 131,09 131,09 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-15 1 1 130,92 130,92 130,92 130,92 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-16 1 1 131,22 131,22 131,22 131,22 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-19 1 1 131,43 131,43 131,43 131,43 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-20 1 1 131,05 131,05 131,05 131,05 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-21 1 1 130,37 130,37 130,37 130,37 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-22 1 1 129,87 129,87 129,87 129,87 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-23 1 1 130,52 130,52 130,52 130,52 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-26 1 1 132,23 132,23 132,23 132,23 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-27 1 1 132,54 132,54 132,54 132,54 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-28 1 1 133,47 133,47 133,47 133,47 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-29 1 1 133,84 133,84 133,84 133,84 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-09-30 1 1 134,75 134,75 134,75 134,75 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-03 1 1 135,44 135,44 135,44 135,44 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-04 1 1 135,73 135,73 135,73 135,73 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-05 1 1 134,93 134,93 134,93 134,93 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-06 1 1 133,39 133,39 133,39 133,39 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-07 1 1 133,48 133,48 133,48 133,48 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-10 1 1 134,16 134,16 134,16 134,16 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-11 1 1 134,28 134,28 134,28 134,28 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-12 1 1 133,09 133,09 133,09 133,09 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-13 1 1 131,41 131,41 131,41 131,41 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-14 1 1 131,8 131,8 131,8 131,8 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-17 1 1 131,46 131,46 131,46 131,46 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-18 1 1 130,68 130,68 130,68 130,68 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-19 1 1 128,96 128,96 128,96 128,96 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-20 1 1 129,65 129,65 129,65 129,65 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-21 1 1 128,18 128,18 128,18 128,18 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-24 1 1 129,29 129,29 129,29 129,29 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-25 1 1 130,91 130,91 130,91 130,91 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-26 1 1 131,25 131,25 131,25 131,25 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-27 1 1 130,48 130,48 130,48 130,48 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-28 1 1 129,76 129,76 129,76 129,76 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-10-31 1 1 132 132 132 132 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-01 1 1 132,9 132,9 132,9 132,9 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-02 1 1 132,52 132,52 132,52 132,52 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-03 1 1 134,79 134,79 134,79 134,79 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-04 1 1 134,64 134,64 134,64 134,64 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-07 1 1 135,61 135,61 135,61 135,61 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-08 1 1 135,36 135,36 135,36 135,36 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-09 1 1 135,12 135,12 135,12 135,12 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-10 1 1 135,8 135,8 135,8 135,8 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-11 1 1 136,8 136,8 136,8 136,8 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-14 1 1 137,74 137,74 137,74 137,74 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-15 1 1 137 137 137 137 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-16 1 1 136,92 136,92 136,92 136,92 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-17 1 1 137,37 137,37 137,37 137,37 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-18 1 1 138,04 138,04 138,04 138,04 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-21 1 1 138,23 138,23 138,23 138,23 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-22 1 1 138,26 138,26 138,26 138,26 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-23 1 1 137,8 137,8 137,8 137,8 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-24 1 1 137,46 137,46 137,46 137,46 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-25 1 1 138,21 138,21 138,21 138,21 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-28 1 1 138,81 138,81 138,81 138,81 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-29 1 1 138,18 138,18 138,18 138,18 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-11-30 1 1 137,23 137,23 137,23 137,23 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-01 1 1 138,5 138,5 138,5 138,5 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-02 1 1 140,17 140,17 140,17 140,17 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-05 1 1 140,1 140,1 140,1 140,1 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-06 1 1 141,03 141,03 141,03 141,03 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-07 1 1 140,84 140,84 140,84 140,84 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-08 1 1 141,34 141,34 141,34 141,34 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-12 1 1 141,45 141,45 141,45 141,45 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-13 1 1 141,13 141,13 141,13 141,13 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-14 1 1 140,61 140,61 140,61 140,61 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-15 1 1 140,67 140,67 140,67 140,67 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-16 1 1 141,03 141,03 141,03 141,03 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-19 1 1 141,76 141,76 141,76 141,76 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-20 1 1 141,35 141,35 141,35 141,35 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-21 1 1 142,04 142,04 142,04 142,04 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-22 1 1 142,63 142,63 142,63 142,63 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-23 1 1 143,94 143,94 143,94 143,94 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-27 1 1 144,74 144,74 144,74 144,74 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-28 1 1 144,56 144,56 144,56 144,56 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-29 1 1 144,87 144,87 144,87 144,87 212332 Handelsbanken Fonder AB SPP Aktieindexfond Sverige SEK 2005-12-30 1 1 144,34 144,34 144,34 144,34 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-03 1 1 74,21 74,21 74,21 74,21 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-04 1 1 74,31 74,31 74,31 74,31 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-05 1 1 74,8 74,8 74,8 74,8 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-07 1 1 75,56 75,56 75,56 75,56 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-10 1 1 76,07 76,07 76,07 76,07 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-11 1 1 76,08 76,08 76,08 76,08 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-12 1 1 75,11 75,11 75,11 75,11 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-13 1 1 74,96 74,96 74,96 74,96 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-14 1 1 74,76 74,76 74,76 74,76 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-17 1 1 75,9 75,9 75,9 75,9 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-18 1 1 75,92 75,92 75,92 75,92 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-19 1 1 76,89 76,89 76,89 76,89 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-20 1 1 76,05 76,05 76,05 76,05 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-21 1 1 76 76 76 76 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-24 1 1 75,26 75,26 75,26 75,26 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-25 1 1 74,9 74,9 74,9 74,9 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-26 1 1 75,87 75,87 75,87 75,87 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-27 1 1 75,54 75,54 75,54 75,54 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-28 1 1 75,87 75,87 75,87 75,87 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-01-31 1 1 75,95 75,95 75,95 75,95 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-01 1 1 76,46 76,46 76,46 76,46 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-02 1 1 77,02 77,02 77,02 77,02 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-03 1 1 77,05 77,05 77,05 77,05 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-04 1 1 77,36 77,36 77,36 77,36 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-07 1 1 78,25 78,25 78,25 78,25 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-08 1 1 78,89 78,89 78,89 78,89 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-09 1 1 79,34 79,34 79,34 79,34 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-10 1 1 78,38 78,38 78,38 78,38 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-11 1 1 78,33 78,33 78,33 78,33 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-14 1 1 79,02 79,02 79,02 79,02 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-15 1 1 78,36 78,36 78,36 78,36 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-16 1 1 78,56 78,56 78,56 78,56 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-17 1 1 78,57 78,57 78,57 78,57 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-18 1 1 77,62 77,62 77,62 77,62 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-21 1 1 77,69 77,69 77,69 77,69 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-22 1 1 77,75 77,75 77,75 77,75 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-23 1 1 75,57 75,57 75,57 75,57 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-24 1 1 76,24 76,24 76,24 76,24 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-25 1 1 76,66 76,66 76,66 76,66 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-02-28 1 1 77,43 77,43 77,43 77,43 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-01 1 1 76,32 76,32 76,32 76,32 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-02 1 1 77,18 77,18 77,18 77,18 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-03 1 1 77,87 77,87 77,87 77,87 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-04 1 1 77,47 77,47 77,47 77,47 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-07 1 1 77,53 77,53 77,53 77,53 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-08 1 1 78,01 78,01 78,01 78,01 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-09 1 1 76,76 76,76 76,76 76,76 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-10 1 1 76,04 76,04 76,04 76,04 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-11 1 1 76,07 76,07 76,07 76,07 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-14 1 1 75,16 75,16 75,16 75,16 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-15 1 1 76,26 76,26 76,26 76,26 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-16 1 1 76,06 76,06 76,06 76,06 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-17 1 1 74,8 74,8 74,8 74,8 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-18 1 1 75,34 75,34 75,34 75,34 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-21 1 1 75,96 75,96 75,96 75,96 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-22 1 1 76,28 76,28 76,28 76,28 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-23 1 1 75,36 75,36 75,36 75,36 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-24 1 1 76,44 76,44 76,44 76,44 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-29 1 1 76,54 76,54 76,54 76,54 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-30 1 1 76,67 76,67 76,67 76,67 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-03-31 1 1 77,46 77,46 77,46 77,46 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-01 1 1 77,39 77,39 77,39 77,39 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-04 1 1 77,17 77,17 77,17 77,17 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-05 1 1 78,33 78,33 78,33 78,33 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-06 1 1 78,62 78,62 78,62 78,62 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-07 1 1 78,55 78,55 78,55 78,55 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-08 1 1 78,67 78,67 78,67 78,67 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-11 1 1 78,48 78,48 78,48 78,48 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-12 1 1 77,7 77,7 77,7 77,7 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-13 1 1 78,5 78,5 78,5 78,5 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-14 1 1 77,51 77,51 77,51 77,51 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-15 1 1 77,47 77,47 77,47 77,47 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-18 1 1 75,47 75,47 75,47 75,47 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-19 1 1 75,38 75,38 75,38 75,38 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-20 1 1 75,67 75,67 75,67 75,67 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-21 1 1 74,44 74,44 74,44 74,44 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-22 1 1 75,67 75,67 75,67 75,67 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-25 1 1 75,19 75,19 75,19 75,19 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-26 1 1 76,19 76,19 76,19 76,19 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-27 1 1 75,66 75,66 75,66 75,66 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-28 1 1 75,92 75,92 75,92 75,92 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-04-29 1 1 75,5 75,5 75,5 75,5 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-02 1 1 76,76 76,76 76,76 76,76 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-03 1 1 77,58 77,58 77,58 77,58 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-04 1 1 77,2 77,2 77,2 77,2 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-06 1 1 77,53 77,53 77,53 77,53 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-09 1 1 77,9 77,9 77,9 77,9 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-10 1 1 78,55 78,55 78,55 78,55 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-11 1 1 77,64 77,64 77,64 77,64 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-12 1 1 78,49 78,49 78,49 78,49 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-13 1 1 78,33 78,33 78,33 78,33 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-16 1 1 78,35 78,35 78,35 78,35 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-17 1 1 79,48 79,48 79,48 79,48 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-18 1 1 79,78 79,78 79,78 79,78 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-19 1 1 80,43 80,43 80,43 80,43 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-20 1 1 80,96 80,96 80,96 80,96 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-23 1 1 81,12 81,12 81,12 81,12 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-24 1 1 81,16 81,16 81,16 81,16 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-25 1 1 81,22 81,22 81,22 81,22 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-26 1 1 80,88 80,88 80,88 80,88 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-27 1 1 81,99 81,99 81,99 81,99 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-30 1 1 81,91 81,91 81,91 81,91 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-05-31 1 1 82,22 82,22 82,22 82,22 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-01 1 1 82,24 82,24 82,24 82,24 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-02 1 1 83,57 83,57 83,57 83,57 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-03 1 1 83,58 83,58 83,58 83,58 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-07 1 1 83,13 83,13 83,13 83,13 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-08 1 1 83,06 83,06 83,06 83,06 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-09 1 1 82,99 82,99 82,99 82,99 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-10 1 1 84,51 84,51 84,51 84,51 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-13 1 1 85,07 85,07 85,07 85,07 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-14 1 1 86,47 86,47 86,47 86,47 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-15 1 1 86,45 86,45 86,45 86,45 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-16 1 1 86,29 86,29 86,29 86,29 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-17 1 1 86,66 86,66 86,66 86,66 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-20 1 1 85,42 85,42 85,42 85,42 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-21 1 1 86,34 86,34 86,34 86,34 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-22 1 1 86,29 86,29 86,29 86,29 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-23 1 1 86,79 86,79 86,79 86,79 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-27 1 1 87,03 87,03 87,03 87,03 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-28 1 1 85,74 85,74 85,74 85,74 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-29 1 1 87,25 87,25 87,25 87,25 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-06-30 1 1 87,58 87,58 87,58 87,58 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-01 1 1 86,77 86,77 86,77 86,77 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-04 1 1 88,27 88,27 88,27 88,27 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-05 1 1 88,6 88,6 88,6 88,6 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-06 1 1 88,82 88,82 88,82 88,82 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-07 1 1 87,75 87,75 87,75 87,75 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-08 1 1 88,04 88,04 88,04 88,04 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-11 1 1 89,47 89,47 89,47 89,47 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-12 1 1 89,31 89,31 89,31 89,31 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-13 1 1 88,19 88,19 88,19 88,19 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-14 1 1 88,59 88,59 88,59 88,59 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-15 1 1 88,88 88,88 88,88 88,88 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-18 1 1 89,51 89,51 89,51 89,51 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-19 1 1 88,93 88,93 88,93 88,93 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-20 1 1 90,2 90,2 90,2 90,2 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-21 1 1 90,77 90,77 90,77 90,77 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-22 1 1 89,5 89,5 89,5 89,5 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-25 1 1 89,88 89,88 89,88 89,88 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-26 1 1 89,6 89,6 89,6 89,6 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-27 1 1 90,33 90,33 90,33 90,33 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-28 1 1 90,59 90,59 90,59 90,59 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-07-29 1 1 90,47 90,47 90,47 90,47 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-01 1 1 89,45 89,45 89,45 89,45 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-02 1 1 88,92 88,92 88,92 88,92 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-03 1 1 89,25 89,25 89,25 89,25 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-04 1 1 88,73 88,73 88,73 88,73 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-05 1 1 87,23 87,23 87,23 87,23 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-08 1 1 86,82 86,82 86,82 86,82 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-09 1 1 86,33 86,33 86,33 86,33 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-10 1 1 87,21 87,21 87,21 87,21 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-11 1 1 86,74 86,74 86,74 86,74 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-12 1 1 86,59 86,59 86,59 86,59 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-15 1 1 86,18 86,18 86,18 86,18 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-16 1 1 86,83 86,83 86,83 86,83 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-17 1 1 86,27 86,27 86,27 86,27 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-18 1 1 86,6 86,6 86,6 86,6 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-19 1 1 87,38 87,38 87,38 87,38 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-22 1 1 88,11 88,11 88,11 88,11 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-23 1 1 87,63 87,63 87,63 87,63 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-24 1 1 87,29 87,29 87,29 87,29 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-25 1 1 86,28 86,28 86,28 86,28 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-26 1 1 86,27 86,27 86,27 86,27 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-29 1 1 85,25 85,25 85,25 85,25 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-30 1 1 86,38 86,38 86,38 86,38 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-08-31 1 1 86,65 86,65 86,65 86,65 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-01 1 1 86,8 86,8 86,8 86,8 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-02 1 1 85,57 85,57 85,57 85,57 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-05 1 1 84,38 84,38 84,38 84,38 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-06 1 1 84,83 84,83 84,83 84,83 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-07 1 1 86,13 86,13 86,13 86,13 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-08 1 1 86,6 86,6 86,6 86,6 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-09 1 1 86,74 86,74 86,74 86,74 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-12 1 1 87,27 87,27 87,27 87,27 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-13 1 1 86,53 86,53 86,53 86,53 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-14 1 1 86,28 86,28 86,28 86,28 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-15 1 1 85,85 85,85 85,85 85,85 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-16 1 1 86,48 86,48 86,48 86,48 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-19 1 1 87,28 87,28 87,28 87,28 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-20 1 1 87,29 87,29 87,29 87,29 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-21 1 1 86,43 86,43 86,43 86,43 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-22 1 1 85,38 85,38 85,38 85,38 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-23 1 1 86,27 86,27 86,27 86,27 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-26 1 1 87,1 87,1 87,1 87,1 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-27 1 1 87,41 87,41 87,41 87,41 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-28 1 1 87,69 87,69 87,69 87,69 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-29 1 1 87,76 87,76 87,76 87,76 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-09-30 1 1 88,06 88,06 88,06 88,06 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-03 1 1 87,65 87,65 87,65 87,65 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-04 1 1 88,59 88,59 88,59 88,59 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-05 1 1 87,38 87,38 87,38 87,38 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-06 1 1 85,95 85,95 85,95 85,95 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-07 1 1 84,5 84,5 84,5 84,5 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-10 1 1 85,09 85,09 85,09 85,09 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-11 1 1 85,06 85,06 85,06 85,06 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-12 1 1 85,17 85,17 85,17 85,17 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-13 1 1 84,47 84,47 84,47 84,47 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-14 1 1 85,64 85,64 85,64 85,64 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-17 1 1 85,74 85,74 85,74 85,74 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-18 1 1 86,48 86,48 86,48 86,48 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-19 1 1 86,26 86,26 86,26 86,26 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-20 1 1 87,15 87,15 87,15 87,15 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-21 1 1 86,05 86,05 86,05 86,05 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-24 1 1 86,19 86,19 86,19 86,19 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-25 1 1 88,29 88,29 88,29 88,29 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-26 1 1 86,74 86,74 86,74 86,74 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-27 1 1 86,6 86,6 86,6 86,6 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-28 1 1 85,29 85,29 85,29 85,29 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-10-31 1 1 87,21 87,21 87,21 87,21 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-01 1 1 88,8 88,8 88,8 88,8 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-02 1 1 88,89 88,89 88,89 88,89 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-03 1 1 89,59 89,59 89,59 89,59 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-04 1 1 90,24 90,24 90,24 90,24 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-07 1 1 91,5 91,5 91,5 91,5 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-08 1 1 92,01 92,01 92,01 92,01 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-09 1 1 91,47 91,47 91,47 91,47 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-10 1 1 92,27 92,27 92,27 92,27 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-11 1 1 93,28 93,28 93,28 93,28 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-14 1 1 93,23 93,23 93,23 93,23 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-15 1 1 93,31 93,31 93,31 93,31 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-16 1 1 93,7 93,7 93,7 93,7 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-17 1 1 93,95 93,95 93,95 93,95 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-18 1 1 94,26 94,26 94,26 94,26 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-21 1 1 94,82 94,82 94,82 94,82 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-22 1 1 94,64 94,64 94,64 94,64 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-23 1 1 95,03 95,03 95,03 95,03 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-24 1 1 94,48 94,48 94,48 94,48 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-25 1 1 94,4 94,4 94,4 94,4 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-28 1 1 94,74 94,74 94,74 94,74 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-29 1 1 93,34 93,34 93,34 93,34 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-11-30 1 1 94,11 94,11 94,11 94,11 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-01 1 1 93,45 93,45 93,45 93,45 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-02 1 1 94,89 94,89 94,89 94,89 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-05 1 1 94,42 94,42 94,42 94,42 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-06 1 1 93,77 93,77 93,77 93,77 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-07 1 1 93,18 93,18 93,18 93,18 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-08 1 1 93,36 93,36 93,36 93,36 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-12 1 1 92,88 92,88 92,88 92,88 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-13 1 1 92,25 92,25 92,25 92,25 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-14 1 1 92,83 92,83 92,83 92,83 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-15 1 1 92,42 92,42 92,42 92,42 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-16 1 1 93,17 93,17 93,17 93,17 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-19 1 1 92,43 92,43 92,43 92,43 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-20 1 1 91,61 91,61 91,61 91,61 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-21 1 1 92,33 92,33 92,33 92,33 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-22 1 1 93,24 93,24 93,24 93,24 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-23 1 1 93,6 93,6 93,6 93,6 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-27 1 1 93,54 93,54 93,54 93,54 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-28 1 1 92,75 92,75 92,75 92,75 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-29 1 1 91,97 91,97 91,97 91,97 248161 Handelsbanken Fonder AB SPP Aktieindexfond USA SEK 2005-12-30 1 1 92,36 92,36 92,36 92,36 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-03 1 1 92,37 92,37 92,37 92,37 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-04 1 1 92,7 92,7 92,7 92,7 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-05 1 1 92,11 92,11 92,11 92,11 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-07 1 1 92,66 92,66 92,66 92,66 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-10 1 1 92,72 92,72 92,72 92,72 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-11 1 1 92,06 92,06 92,06 92,06 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-12 1 1 92,24 92,24 92,24 92,24 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-13 1 1 91,69 91,69 91,69 91,69 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-14 1 1 92,17 92,17 92,17 92,17 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-17 1 1 92,5 92,5 92,5 92,5 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-18 1 1 92 92 92 92 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-19 1 1 92,46 92,46 92,46 92,46 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-20 1 1 91,45 91,45 91,45 91,45 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-21 1 1 91,91 91,91 91,91 91,91 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-24 1 1 91,55 91,55 91,55 91,55 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-25 1 1 92,31 92,31 92,31 92,31 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-26 1 1 92,73 92,73 92,73 92,73 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-27 1 1 92,67 92,67 92,67 92,67 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-28 1 1 93,22 93,22 93,22 93,22 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-01-31 1 1 93,7 93,7 93,7 93,7 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-01 1 1 94,15 94,15 94,15 94,15 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-02 1 1 94,45 94,45 94,45 94,45 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-03 1 1 94,31 94,31 94,31 94,31 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-04 1 1 94,66 94,66 94,66 94,66 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-07 1 1 95,64 95,64 95,64 95,64 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-08 1 1 95,65 95,65 95,65 95,65 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-09 1 1 95,89 95,89 95,89 95,89 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-10 1 1 95,67 95,67 95,67 95,67 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-11 1 1 96,1 96,1 96,1 96,1 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-14 1 1 96,61 96,61 96,61 96,61 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-15 1 1 96,7 96,7 96,7 96,7 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-16 1 1 96,32 96,32 96,32 96,32 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-17 1 1 96,98 96,98 96,98 96,98 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-18 1 1 96,69 96,69 96,69 96,69 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-21 1 1 96,56 96,56 96,56 96,56 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-22 1 1 95,32 95,32 95,32 95,32 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-23 1 1 95,29 95,29 95,29 95,29 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-24 1 1 95,15 95,15 95,15 95,15 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-25 1 1 95,99 95,99 95,99 95,99 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-02-28 1 1 96,12 96,12 96,12 96,12 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-01 1 1 96,25 96,25 96,25 96,25 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-02 1 1 96,35 96,35 96,35 96,35 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-03 1 1 96,49 96,49 96,49 96,49 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-04 1 1 96,6 96,6 96,6 96,6 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-07 1 1 97,11 97,11 97,11 97,11 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-08 1 1 97,09 97,09 97,09 97,09 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-09 1 1 96,44 96,44 96,44 96,44 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-10 1 1 95,82 95,82 95,82 95,82 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-11 1 1 96,09 96,09 96,09 96,09 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-14 1 1 95,99 95,99 95,99 95,99 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-15 1 1 96,69 96,69 96,69 96,69 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-16 1 1 95,58 95,58 95,58 95,58 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-17 1 1 95,25 95,25 95,25 95,25 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-18 1 1 95,93 95,93 95,93 95,93 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-21 1 1 96,08 96,08 96,08 96,08 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-22 1 1 95,31 95,31 95,31 95,31 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-23 1 1 94,94 94,94 94,94 94,94 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-24 1 1 95,37 95,37 95,37 95,37 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-29 1 1 95,77 95,77 95,77 95,77 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-30 1 1 95,84 95,84 95,84 95,84 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-03-31 1 1 96,35 96,35 96,35 96,35 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-01 1 1 96,84 96,84 96,84 96,84 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-04 1 1 96,07 96,07 96,07 96,07 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-05 1 1 96,63 96,63 96,63 96,63 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-06 1 1 97,14 97,14 97,14 97,14 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-07 1 1 97,24 97,24 97,24 97,24 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-08 1 1 98,01 98,01 98,01 98,01 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-11 1 1 97,68 97,68 97,68 97,68 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-12 1 1 97,21 97,21 97,21 97,21 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-13 1 1 97,4 97,4 97,4 97,4 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-14 1 1 97,28 97,28 97,28 97,28 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-15 1 1 95,77 95,77 95,77 95,77 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-18 1 1 93,87 93,87 93,87 93,87 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-19 1 1 94,1 94,1 94,1 94,1 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-20 1 1 94,33 94,33 94,33 94,33 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-21 1 1 94,1 94,1 94,1 94,1 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-22 1 1 94,58 94,58 94,58 94,58 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-25 1 1 94,31 94,31 94,31 94,31 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-26 1 1 94,27 94,27 94,27 94,27 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-27 1 1 93,28 93,28 93,28 93,28 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-28 1 1 92,84 92,84 92,84 92,84 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-04-29 1 1 93,38 93,38 93,38 93,38 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-02 1 1 94,16 94,16 94,16 94,16 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-03 1 1 94,47 94,47 94,47 94,47 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-04 1 1 94,03 94,03 94,03 94,03 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-06 1 1 95,23 95,23 95,23 95,23 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-09 1 1 95,54 95,54 95,54 95,54 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-10 1 1 95,11 95,11 95,11 95,11 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-11 1 1 95,29 95,29 95,29 95,29 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-12 1 1 95,89 95,89 95,89 95,89 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-13 1 1 95,29 95,29 95,29 95,29 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-16 1 1 95,78 95,78 95,78 95,78 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-17 1 1 95,51 95,51 95,51 95,51 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-18 1 1 96,36 96,36 96,36 96,36 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-19 1 1 97,24 97,24 97,24 97,24 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-20 1 1 97,5 97,5 97,5 97,5 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-23 1 1 97,89 97,89 97,89 97,89 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-24 1 1 97,7 97,7 97,7 97,7 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-25 1 1 97,91 97,91 97,91 97,91 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-26 1 1 98,82 98,82 98,82 98,82 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-27 1 1 98,76 98,76 98,76 98,76 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-30 1 1 99,11 99,11 99,11 99,11 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-05-31 1 1 98,96 98,96 98,96 98,96 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-01 1 1 99,1 99,1 99,1 99,1 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-02 1 1 100,2 100,2 100,2 100,2 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-03 1 1 100,28 100,28 100,28 100,28 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-07 1 1 99,84 99,84 99,84 99,84 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-08 1 1 100,9 100,9 100,9 100,9 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-09 1 1 100,76 100,76 100,76 100,76 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-10 1 1 102,09 102,09 102,09 102,09 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-13 1 1 102,28 102,28 102,28 102,28 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-14 1 1 102,87 102,87 102,87 102,87 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-15 1 1 102,85 102,85 102,85 102,85 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-16 1 1 102,71 102,71 102,71 102,71 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-17 1 1 103,14 103,14 103,14 103,14 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-20 1 1 102,48 102,48 102,48 102,48 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-21 1 1 103,24 103,24 103,24 103,24 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-22 1 1 103,91 103,91 103,91 103,91 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-23 1 1 105,03 105,03 105,03 105,03 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-27 1 1 103,26 103,26 103,26 103,26 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-28 1 1 104,19 104,19 104,19 104,19 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-29 1 1 105,51 105,51 105,51 105,51 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-06-30 1 1 105,73 105,73 105,73 105,73 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-01 1 1 106,58 106,58 106,58 106,58 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-04 1 1 107,12 107,12 107,12 107,12 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-05 1 1 106,18 106,18 106,18 106,18 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-06 1 1 106,51 106,51 106,51 106,51 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-07 1 1 104,53 104,53 104,53 104,53 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-08 1 1 106,83 106,83 106,83 106,83 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-11 1 1 108,55 108,55 108,55 108,55 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-12 1 1 108,07 108,07 108,07 108,07 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-13 1 1 107,61 107,61 107,61 107,61 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-14 1 1 108,86 108,86 108,86 108,86 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-15 1 1 109,15 109,15 109,15 109,15 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-18 1 1 108,67 108,67 108,67 108,67 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-19 1 1 109,88 109,88 109,88 109,88 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-20 1 1 109,83 109,83 109,83 109,83 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-21 1 1 110,26 110,26 110,26 110,26 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-22 1 1 109,68 109,68 109,68 109,68 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-25 1 1 109,62 109,62 109,62 109,62 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-26 1 1 110,3 110,3 110,3 110,3 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-27 1 1 110,52 110,52 110,52 110,52 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-28 1 1 110,56 110,56 110,56 110,56 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-07-29 1 1 110,95 110,95 110,95 110,95 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-01 1 1 110,34 110,34 110,34 110,34 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-02 1 1 110,18 110,18 110,18 110,18 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-03 1 1 110,72 110,72 110,72 110,72 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-04 1 1 109,54 109,54 109,54 109,54 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-05 1 1 109,47 109,47 109,47 109,47 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-08 1 1 109,26 109,26 109,26 109,26 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-09 1 1 109,72 109,72 109,72 109,72 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-10 1 1 110,99 110,99 110,99 110,99 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-11 1 1 110,38 110,38 110,38 110,38 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-12 1 1 109,87 109,87 109,87 109,87 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-15 1 1 109,64 109,64 109,64 109,64 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-16 1 1 109,91 109,91 109,91 109,91 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-17 1 1 108,62 108,62 108,62 108,62 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-18 1 1 108,25 108,25 108,25 108,25 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-19 1 1 109,19 109,19 109,19 109,19 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-22 1 1 110,17 110,17 110,17 110,17 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-23 1 1 109,76 109,76 109,76 109,76 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-24 1 1 108,43 108,43 108,43 108,43 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-25 1 1 107,75 107,75 107,75 107,75 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-26 1 1 107,71 107,71 107,71 107,71 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-29 1 1 106,39 106,39 106,39 106,39 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-30 1 1 107,61 107,61 107,61 107,61 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-08-31 1 1 107,86 107,86 107,86 107,86 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-01 1 1 108,85 108,85 108,85 108,85 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-02 1 1 107,72 107,72 107,72 107,72 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-05 1 1 108,36 108,36 108,36 108,36 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-06 1 1 109,29 109,29 109,29 109,29 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-07 1 1 110,27 110,27 110,27 110,27 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-08 1 1 109,88 109,88 109,88 109,88 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-09 1 1 110,43 110,43 110,43 110,43 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-12 1 1 110,09 110,09 110,09 110,09 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-13 1 1 107,12 107,12 107,12 107,12 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-14 1 1 107,5 107,5 107,5 107,5 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-15 1 1 107,54 107,54 107,54 107,54 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-16 1 1 108,37 108,37 108,37 108,37 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-19 1 1 108,29 108,29 108,29 108,29 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-20 1 1 108,56 108,56 108,56 108,56 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-21 1 1 107,36 107,36 107,36 107,36 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-22 1 1 106,61 106,61 106,61 106,61 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-23 1 1 107,27 107,27 107,27 107,27 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-26 1 1 109,01 109,01 109,01 109,01 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-27 1 1 109,32 109,32 109,32 109,32 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-28 1 1 109,99 109,99 109,99 109,99 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-29 1 1 110,02 110,02 110,02 110,02 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-09-30 1 1 110 110 110 110 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-03 1 1 110,39 110,39 110,39 110,39 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-04 1 1 110,78 110,78 110,78 110,78 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-05 1 1 110,31 110,31 110,31 110,31 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-06 1 1 108,51 108,51 108,51 108,51 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-07 1 1 108,58 108,58 108,58 108,58 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-10 1 1 109,7 109,7 109,7 109,7 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-11 1 1 109,57 109,57 109,57 109,57 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-12 1 1 108,57 108,57 108,57 108,57 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-13 1 1 107,77 107,77 107,77 107,77 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-14 1 1 108,86 108,86 108,86 108,86 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-17 1 1 109,64 109,64 109,64 109,64 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-18 1 1 109,06 109,06 109,06 109,06 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-19 1 1 107 107 107 107 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-20 1 1 107,94 107,94 107,94 107,94 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-21 1 1 107,09 107,09 107,09 107,09 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-24 1 1 108,1 108,1 108,1 108,1 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-25 1 1 108,04 108,04 108,04 108,04 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-26 1 1 108 108 108 108 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-27 1 1 107,02 107,02 107,02 107,02 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-28 1 1 106,87 106,87 106,87 106,87 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-10-31 1 1 108,68 108,68 108,68 108,68 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-01 1 1 109,91 109,91 109,91 109,91 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-02 1 1 109,62 109,62 109,62 109,62 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-03 1 1 111,78 111,78 111,78 111,78 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-04 1 1 111,42 111,42 111,42 111,42 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-07 1 1 111,89 111,89 111,89 111,89 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-08 1 1 111,54 111,54 111,54 111,54 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-09 1 1 111,13 111,13 111,13 111,13 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-10 1 1 111,89 111,89 111,89 111,89 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-11 1 1 112,76 112,76 112,76 112,76 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-14 1 1 112,97 112,97 112,97 112,97 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-15 1 1 113,6 113,6 113,6 113,6 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-16 1 1 112,92 112,92 112,92 112,92 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-17 1 1 113,83 113,83 113,83 113,83 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-18 1 1 114,19 114,19 114,19 114,19 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-21 1 1 113,94 113,94 113,94 113,94 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-22 1 1 114,16 114,16 114,16 114,16 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-23 1 1 114,15 114,15 114,15 114,15 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-24 1 1 113,72 113,72 113,72 113,72 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-25 1 1 113,7 113,7 113,7 113,7 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-28 1 1 114,23 114,23 114,23 114,23 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-29 1 1 114,45 114,45 114,45 114,45 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-11-30 1 1 114,19 114,19 114,19 114,19 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-01 1 1 115,06 115,06 115,06 115,06 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-02 1 1 115 115 115 115 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-05 1 1 115,01 115,01 115,01 115,01 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-06 1 1 114,74 114,74 114,74 114,74 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-07 1 1 115,1 115,1 115,1 115,1 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-08 1 1 114,53 114,53 114,53 114,53 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-12 1 1 115,3 115,3 115,3 115,3 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-13 1 1 115,82 115,82 115,82 115,82 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-14 1 1 115,78 115,78 115,78 115,78 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-15 1 1 115,63 115,63 115,63 115,63 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-16 1 1 117,14 117,14 117,14 117,14 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-19 1 1 116,66 116,66 116,66 116,66 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-20 1 1 116,24 116,24 116,24 116,24 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-21 1 1 117,26 117,26 117,26 117,26 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-22 1 1 117,62 117,62 117,62 117,62 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-23 1 1 118,32 118,32 118,32 118,32 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-27 1 1 118,9 118,9 118,9 118,9 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-28 1 1 118,35 118,35 118,35 118,35 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-29 1 1 118,1 118,1 118,1 118,1 283994 Handelsbanken Fonder AB SPP EMU Aktiefond SEK 2005-12-30 1 1 117,09 117,09 117,09 117,09 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-03 1 1 99,68 99,68 99,68 99,68 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-04 1 1 100,1 100,1 100,1 100,1 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-05 1 1 99,67 99,67 99,67 99,67 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-07 1 1 100,06 100,06 100,06 100,06 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-10 1 1 100,24 100,24 100,24 100,24 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-11 1 1 99,71 99,71 99,71 99,71 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-12 1 1 99,9 99,9 99,9 99,9 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-13 1 1 99,51 99,51 99,51 99,51 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-14 1 1 99,96 99,96 99,96 99,96 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-17 1 1 100,2 100,2 100,2 100,2 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-18 1 1 99,86 99,86 99,86 99,86 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-19 1 1 100,25 100,25 100,25 100,25 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-20 1 1 99,4 99,4 99,4 99,4 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-21 1 1 99,84 99,84 99,84 99,84 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-24 1 1 99,74 99,74 99,74 99,74 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-25 1 1 100,31 100,31 100,31 100,31 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-26 1 1 100,48 100,48 100,48 100,48 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-27 1 1 100,37 100,37 100,37 100,37 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-28 1 1 100,82 100,82 100,82 100,82 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-01-31 1 1 101,23 101,23 101,23 101,23 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-01 1 1 101,52 101,52 101,52 101,52 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-02 1 1 101,64 101,64 101,64 101,64 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-03 1 1 101,43 101,43 101,43 101,43 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-04 1 1 101,83 101,83 101,83 101,83 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-07 1 1 102,42 102,42 102,42 102,42 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-08 1 1 102,48 102,48 102,48 102,48 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-09 1 1 102,68 102,68 102,68 102,68 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-10 1 1 102,67 102,67 102,67 102,67 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-11 1 1 102,83 102,83 102,83 102,83 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-14 1 1 103,06 103,06 103,06 103,06 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-15 1 1 103 103 103 103 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-16 1 1 102,79 102,79 102,79 102,79 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-17 1 1 103,09 103,09 103,09 103,09 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-18 1 1 102,76 102,76 102,76 102,76 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-21 1 1 102,68 102,68 102,68 102,68 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-22 1 1 101,85 101,85 101,85 101,85 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-23 1 1 101,89 101,89 101,89 101,89 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-24 1 1 101,6 101,6 101,6 101,6 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-25 1 1 102,08 102,08 102,08 102,08 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-02-28 1 1 102,06 102,06 102,06 102,06 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-01 1 1 102,05 102,05 102,05 102,05 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-02 1 1 102,11 102,11 102,11 102,11 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-03 1 1 102,06 102,06 102,06 102,06 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-04 1 1 102,25 102,25 102,25 102,25 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-07 1 1 102,62 102,62 102,62 102,62 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-08 1 1 102,65 102,65 102,65 102,65 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-09 1 1 102,08 102,08 102,08 102,08 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-10 1 1 101,82 101,82 101,82 101,82 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-11 1 1 101,97 101,97 101,97 101,97 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-14 1 1 101,97 101,97 101,97 101,97 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-15 1 1 102,57 102,57 102,57 102,57 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-16 1 1 101,97 101,97 101,97 101,97 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-17 1 1 101,73 101,73 101,73 101,73 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-18 1 1 102,11 102,11 102,11 102,11 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-21 1 1 102,3 102,3 102,3 102,3 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-22 1 1 101,95 101,95 101,95 101,95 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-23 1 1 101,54 101,54 101,54 101,54 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-24 1 1 101,78 101,78 101,78 101,78 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-29 1 1 102,24 102,24 102,24 102,24 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-30 1 1 102,38 102,38 102,38 102,38 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-03-31 1 1 102,8 102,8 102,8 102,8 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-01 1 1 103,26 103,26 103,26 103,26 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-04 1 1 102,89 102,89 102,89 102,89 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-05 1 1 103,21 103,21 103,21 103,21 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-06 1 1 103,48 103,48 103,48 103,48 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-07 1 1 103,54 103,54 103,54 103,54 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-08 1 1 104,09 104,09 104,09 104,09 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-11 1 1 103,95 103,95 103,95 103,95 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-12 1 1 103,61 103,61 103,61 103,61 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-13 1 1 103,78 103,78 103,78 103,78 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-14 1 1 103,79 103,79 103,79 103,79 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-15 1 1 103,05 103,05 103,05 103,05 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-18 1 1 102 102 102 102 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-19 1 1 102,16 102,16 102,16 102,16 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-20 1 1 102,32 102,32 102,32 102,32 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-21 1 1 102,11 102,11 102,11 102,11 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-22 1 1 102,32 102,32 102,32 102,32 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-25 1 1 102,11 102,11 102,11 102,11 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-26 1 1 102,14 102,14 102,14 102,14 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-27 1 1 101,56 101,56 101,56 101,56 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-28 1 1 101,47 101,47 101,47 101,47 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-04-29 1 1 101,9 101,9 101,9 101,9 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-02 1 1 102,52 102,52 102,52 102,52 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-03 1 1 102,84 102,84 102,84 102,84 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-04 1 1 102,33 102,33 102,33 102,33 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-06 1 1 102,96 102,96 102,96 102,96 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-09 1 1 103,12 103,12 103,12 103,12 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-10 1 1 103,17 103,17 103,17 103,17 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-11 1 1 103,33 103,33 103,33 103,33 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-12 1 1 103,8 103,8 103,8 103,8 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-13 1 1 103,42 103,42 103,42 103,42 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-16 1 1 103,81 103,81 103,81 103,81 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-17 1 1 103,59 103,59 103,59 103,59 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-18 1 1 104,12 104,12 104,12 104,12 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-19 1 1 104,49 104,49 104,49 104,49 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-20 1 1 104,57 104,57 104,57 104,57 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-23 1 1 104,63 104,63 104,63 104,63 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-24 1 1 104,82 104,82 104,82 104,82 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-25 1 1 104,91 104,91 104,91 104,91 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-26 1 1 105,44 105,44 105,44 105,44 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-27 1 1 105,29 105,29 105,29 105,29 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-30 1 1 105,29 105,29 105,29 105,29 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-05-31 1 1 105,25 105,25 105,25 105,25 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-01 1 1 105,32 105,32 105,32 105,32 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-02 1 1 106,08 106,08 106,08 106,08 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-03 1 1 106,18 106,18 106,18 106,18 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-07 1 1 106,03 106,03 106,03 106,03 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-08 1 1 107,07 107,07 107,07 107,07 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-09 1 1 106,97 106,97 106,97 106,97 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-10 1 1 107,84 107,84 107,84 107,84 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-13 1 1 108,03 108,03 108,03 108,03 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-14 1 1 108,43 108,43 108,43 108,43 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-15 1 1 108,06 108,06 108,06 108,06 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-16 1 1 107,68 107,68 107,68 107,68 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-17 1 1 107,78 107,78 107,78 107,78 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-20 1 1 107,43 107,43 107,43 107,43 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-21 1 1 108,25 108,25 108,25 108,25 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-22 1 1 109,02 109,02 109,02 109,02 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-23 1 1 110,22 110,22 110,22 110,22 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-27 1 1 109,41 109,41 109,41 109,41 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-28 1 1 109,94 109,94 109,94 109,94 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-29 1 1 110,77 110,77 110,77 110,77 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-06-30 1 1 110,92 110,92 110,92 110,92 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-01 1 1 111,69 111,69 111,69 111,69 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-04 1 1 111,82 111,82 111,82 111,82 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-05 1 1 110,84 110,84 110,84 110,84 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-06 1 1 110,75 110,75 110,75 110,75 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-07 1 1 110,3 110,3 110,3 110,3 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-08 1 1 111,31 111,31 111,31 111,31 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-11 1 1 112,48 112,48 112,48 112,48 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-12 1 1 112,04 112,04 112,04 112,04 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-13 1 1 111,23 111,23 111,23 111,23 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-14 1 1 111,85 111,85 111,85 111,85 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-15 1 1 112,15 112,15 112,15 112,15 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-18 1 1 111,76 111,76 111,76 111,76 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-19 1 1 112,6 112,6 112,6 112,6 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-20 1 1 112,58 112,58 112,58 112,58 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-21 1 1 113,14 113,14 113,14 113,14 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-22 1 1 112,75 112,75 112,75 112,75 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-25 1 1 112,59 112,59 112,59 112,59 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-26 1 1 113,15 113,15 113,15 113,15 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-27 1 1 113,35 113,35 113,35 113,35 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-28 1 1 112,97 112,97 112,97 112,97 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-07-29 1 1 113,35 113,35 113,35 113,35 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-01 1 1 112,71 112,71 112,71 112,71 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-02 1 1 112,38 112,38 112,38 112,38 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-03 1 1 112,68 112,68 112,68 112,68 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-04 1 1 111,83 111,83 111,83 111,83 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-05 1 1 111,7 111,7 111,7 111,7 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-08 1 1 111,49 111,49 111,49 111,49 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-09 1 1 111,98 111,98 111,98 111,98 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-10 1 1 112,72 112,72 112,72 112,72 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-11 1 1 112,12 112,12 112,12 112,12 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-12 1 1 111,91 111,91 111,91 111,91 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-15 1 1 111,9 111,9 111,9 111,9 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-16 1 1 112,07 112,07 112,07 112,07 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-17 1 1 111,63 111,63 111,63 111,63 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-18 1 1 111,44 111,44 111,44 111,44 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-19 1 1 112,14 112,14 112,14 112,14 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-22 1 1 112,8 112,8 112,8 112,8 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-23 1 1 112,56 112,56 112,56 112,56 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-24 1 1 111,75 111,75 111,75 111,75 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-25 1 1 111,44 111,44 111,44 111,44 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-26 1 1 111,37 111,37 111,37 111,37 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-29 1 1 110,62 110,62 110,62 110,62 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-30 1 1 111,33 111,33 111,33 111,33 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-08-31 1 1 111,58 111,58 111,58 111,58 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-01 1 1 112,21 112,21 112,21 112,21 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-02 1 1 111,48 111,48 111,48 111,48 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-05 1 1 111,91 111,91 111,91 111,91 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-06 1 1 112,43 112,43 112,43 112,43 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-07 1 1 113,04 113,04 113,04 113,04 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-08 1 1 112,84 112,84 112,84 112,84 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-09 1 1 113,27 113,27 113,27 113,27 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-12 1 1 112,72 112,72 112,72 112,72 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-13 1 1 109,29 109,29 109,29 109,29 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-14 1 1 109,77 109,77 109,77 109,77 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-15 1 1 109,59 109,59 109,59 109,59 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-16 1 1 110,05 110,05 110,05 110,05 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-19 1 1 110,05 110,05 110,05 110,05 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-20 1 1 110,36 110,36 110,36 110,36 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-21 1 1 109,8 109,8 109,8 109,8 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-22 1 1 109,67 109,67 109,67 109,67 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-23 1 1 109,95 109,95 109,95 109,95 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-26 1 1 110,64 110,64 110,64 110,64 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-27 1 1 110,95 110,95 110,95 110,95 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-28 1 1 111,23 111,23 111,23 111,23 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-29 1 1 111,25 111,25 111,25 111,25 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-09-30 1 1 110,91 110,91 110,91 110,91 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-03 1 1 110,96 110,96 110,96 110,96 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-04 1 1 111,23 111,23 111,23 111,23 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-05 1 1 110,92 110,92 110,92 110,92 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-06 1 1 109,8 109,8 109,8 109,8 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-07 1 1 109,95 109,95 109,95 109,95 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-10 1 1 110,79 110,79 110,79 110,79 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-11 1 1 110,63 110,63 110,63 110,63 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-12 1 1 109,96 109,96 109,96 109,96 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-13 1 1 109,44 109,44 109,44 109,44 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-14 1 1 110,46 110,46 110,46 110,46 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-17 1 1 110,99 110,99 110,99 110,99 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-18 1 1 110,58 110,58 110,58 110,58 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-19 1 1 109,51 109,51 109,51 109,51 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-20 1 1 109,96 109,96 109,96 109,96 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-21 1 1 109,64 109,64 109,64 109,64 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-24 1 1 110,52 110,52 110,52 110,52 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-25 1 1 110,14 110,14 110,14 110,14 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-26 1 1 109,93 109,93 109,93 109,93 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-27 1 1 109,63 109,63 109,63 109,63 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-28 1 1 109,38 109,38 109,38 109,38 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-10-31 1 1 110,46 110,46 110,46 110,46 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-01 1 1 111,42 111,42 111,42 111,42 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-02 1 1 111,09 111,09 111,09 111,09 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-03 1 1 112,54 112,54 112,54 112,54 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-04 1 1 112,13 112,13 112,13 112,13 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-07 1 1 112,49 112,49 112,49 112,49 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-08 1 1 112,03 112,03 112,03 112,03 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-09 1 1 111,89 111,89 111,89 111,89 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-10 1 1 112,42 112,42 112,42 112,42 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-11 1 1 112,98 112,98 112,98 112,98 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-14 1 1 112,97 112,97 112,97 112,97 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-15 1 1 113,66 113,66 113,66 113,66 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-16 1 1 113,25 113,25 113,25 113,25 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-17 1 1 113,84 113,84 113,84 113,84 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-18 1 1 113,87 113,87 113,87 113,87 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-21 1 1 113,6 113,6 113,6 113,6 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-22 1 1 113,64 113,64 113,64 113,64 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-23 1 1 113,53 113,53 113,53 113,53 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-24 1 1 113,32 113,32 113,32 113,32 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-25 1 1 113,25 113,25 113,25 113,25 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-28 1 1 113,5 113,5 113,5 113,5 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-29 1 1 113,9 113,9 113,9 113,9 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-11-30 1 1 113,7 113,7 113,7 113,7 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-01 1 1 114,34 114,34 114,34 114,34 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-02 1 1 113,91 113,91 113,91 113,91 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-05 1 1 113,86 113,86 113,86 113,86 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-06 1 1 113,64 113,64 113,64 113,64 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-07 1 1 113,88 113,88 113,88 113,88 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-08 1 1 113,6 113,6 113,6 113,6 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-12 1 1 114,06 114,06 114,06 114,06 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-13 1 1 114,4 114,4 114,4 114,4 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-14 1 1 114,47 114,47 114,47 114,47 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-15 1 1 114,32 114,32 114,32 114,32 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-16 1 1 115,53 115,53 115,53 115,53 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-19 1 1 115,03 115,03 115,03 115,03 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-20 1 1 114,64 114,64 114,64 114,64 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-21 1 1 115,42 115,42 115,42 115,42 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-22 1 1 115,6 115,6 115,6 115,6 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-23 1 1 116,22 116,22 116,22 116,22 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-27 1 1 116,66 116,66 116,66 116,66 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-28 1 1 116,22 116,22 116,22 116,22 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-29 1 1 115,97 115,97 115,97 115,97 319822 Handelsbanken Fonder AB SPP EMU Blandfond SEK 2005-12-30 1 1 115,3 115,3 115,3 115,3 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-03 1 1 126,1 126,1 126,1 126,1 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-04 1 1 126,19 126,19 126,19 126,19 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-05 1 1 126,09 126,09 126,09 126,09 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-07 1 1 126,23 126,23 126,23 126,23 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-10 1 1 126,34 126,34 126,34 126,34 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-11 1 1 126,24 126,24 126,24 126,24 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-12 1 1 126,1 126,1 126,1 126,1 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-13 1 1 126,04 126,04 126,04 126,04 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-14 1 1 126,16 126,16 126,16 126,16 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-17 1 1 126,27 126,27 126,27 126,27 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-18 1 1 126,19 126,19 126,19 126,19 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-19 1 1 126,33 126,33 126,33 126,33 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-20 1 1 126,17 126,17 126,17 126,17 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-21 1 1 126,18 126,18 126,18 126,18 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-24 1 1 126,07 126,07 126,07 126,07 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-25 1 1 126,18 126,18 126,18 126,18 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-26 1 1 126,28 126,28 126,28 126,28 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-27 1 1 126,36 126,36 126,36 126,36 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-28 1 1 126,37 126,37 126,37 126,37 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-01-31 1 1 126,47 126,47 126,47 126,47 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-01 1 1 126,51 126,51 126,51 126,51 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-02 1 1 126,6 126,6 126,6 126,6 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-03 1 1 126,59 126,59 126,59 126,59 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-04 1 1 126,69 126,69 126,69 126,69 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-07 1 1 126,92 126,92 126,92 126,92 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-08 1 1 126,97 126,97 126,97 126,97 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-09 1 1 127,05 127,05 127,05 127,05 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-10 1 1 126,97 126,97 126,97 126,97 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-11 1 1 126,99 126,99 126,99 126,99 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-14 1 1 127,05 127,05 127,05 127,05 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-15 1 1 127,08 127,08 127,08 127,08 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-16 1 1 126,95 126,95 126,95 126,95 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-17 1 1 127,04 127,04 127,04 127,04 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-18 1 1 126,92 126,92 126,92 126,92 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-21 1 1 126,99 126,99 126,99 126,99 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-22 1 1 126,82 126,82 126,82 126,82 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-23 1 1 126,86 126,86 126,86 126,86 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-24 1 1 126,84 126,84 126,84 126,84 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-25 1 1 126,98 126,98 126,98 126,98 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-02-28 1 1 127,05 127,05 127,05 127,05 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-01 1 1 127,1 127,1 127,1 127,1 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-02 1 1 127,1 127,1 127,1 127,1 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-03 1 1 127,21 127,21 127,21 127,21 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-04 1 1 127,23 127,23 127,23 127,23 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-07 1 1 127,24 127,24 127,24 127,24 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-08 1 1 124,09 124,09 124,09 124,09 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-09 1 1 124,05 124,05 124,05 124,05 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-10 1 1 123,95 123,95 123,95 123,95 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-11 1 1 123,95 123,95 123,95 123,95 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-14 1 1 123,96 123,96 123,96 123,96 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-15 1 1 124,1 124,1 124,1 124,1 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-16 1 1 123,9 123,9 123,9 123,9 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-17 1 1 123,91 123,91 123,91 123,91 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-18 1 1 123,98 123,98 123,98 123,98 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-21 1 1 124,01 124,01 124,01 124,01 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-22 1 1 124,02 124,02 124,02 124,02 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-23 1 1 123,95 123,95 123,95 123,95 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-24 1 1 124,08 124,08 124,08 124,08 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-29 1 1 124,14 124,14 124,14 124,14 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-30 1 1 124,08 124,08 124,08 124,08 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-03-31 1 1 124,18 124,18 124,18 124,18 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-01 1 1 124,24 124,24 124,24 124,24 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-04 1 1 124,29 124,29 124,29 124,29 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-05 1 1 124,4 124,4 124,4 124,4 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-06 1 1 124,5 124,5 124,5 124,5 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-07 1 1 124,49 124,49 124,49 124,49 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-08 1 1 124,64 124,64 124,64 124,64 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-11 1 1 124,59 124,59 124,59 124,59 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-12 1 1 124,56 124,56 124,56 124,56 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-13 1 1 124,64 124,64 124,64 124,64 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-14 1 1 124,72 124,72 124,72 124,72 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-15 1 1 124,3 124,3 124,3 124,3 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-18 1 1 123,73 123,73 123,73 123,73 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-19 1 1 123,95 123,95 123,95 123,95 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-20 1 1 123,95 123,95 123,95 123,95 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-21 1 1 123,85 123,85 123,85 123,85 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-22 1 1 124,15 124,15 124,15 124,15 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-25 1 1 124,15 124,15 124,15 124,15 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-26 1 1 124,02 124,02 124,02 124,02 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-27 1 1 123,71 123,71 123,71 123,71 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-28 1 1 123,6 123,6 123,6 123,6 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-04-29 1 1 123,76 123,76 123,76 123,76 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-02 1 1 124,03 124,03 124,03 124,03 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-03 1 1 124,01 124,01 124,01 124,01 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-04 1 1 123,98 123,98 123,98 123,98 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-06 1 1 124,41 124,41 124,41 124,41 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-09 1 1 124,45 124,45 124,45 124,45 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-10 1 1 124,38 124,38 124,38 124,38 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-11 1 1 124,48 124,48 124,48 124,48 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-12 1 1 124,63 124,63 124,63 124,63 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-13 1 1 124,59 124,59 124,59 124,59 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-16 1 1 124,54 124,54 124,54 124,54 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-17 1 1 124,7 124,7 124,7 124,7 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-18 1 1 124,97 124,97 124,97 124,97 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-19 1 1 125,1 125,1 125,1 125,1 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-20 1 1 125,19 125,19 125,19 125,19 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-23 1 1 125,19 125,19 125,19 125,19 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-24 1 1 125,21 125,21 125,21 125,21 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-25 1 1 125,22 125,22 125,22 125,22 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-26 1 1 125,39 125,39 125,39 125,39 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-27 1 1 125,44 125,44 125,44 125,44 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-30 1 1 125,54 125,54 125,54 125,54 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-05-31 1 1 125,82 125,82 125,82 125,82 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-01 1 1 125,92 125,92 125,92 125,92 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-02 1 1 125,74 125,74 125,74 125,74 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-03 1 1 125,74 125,74 125,74 125,74 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-07 1 1 125,77 125,77 125,77 125,77 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-08 1 1 126,02 126,02 126,02 126,02 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-09 1 1 126,04 126,04 126,04 126,04 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-10 1 1 126,27 126,27 126,27 126,27 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-13 1 1 126,38 126,38 126,38 126,38 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-14 1 1 126,45 126,45 126,45 126,45 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-15 1 1 126,52 126,52 126,52 126,52 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-16 1 1 126,45 126,45 126,45 126,45 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-17 1 1 126,61 126,61 126,61 126,61 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-20 1 1 126,59 126,59 126,59 126,59 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-21 1 1 126,83 126,83 126,83 126,83 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-22 1 1 127,11 127,11 127,11 127,11 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-23 1 1 127,35 127,35 127,35 127,35 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-27 1 1 126,8 126,8 126,8 126,8 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-28 1 1 126,92 126,92 126,92 126,92 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-29 1 1 127,31 127,31 127,31 127,31 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-06-30 1 1 127,32 127,32 127,32 127,32 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-01 1 1 127,33 127,33 127,33 127,33 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-04 1 1 127,63 127,63 127,63 127,63 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-05 1 1 127,49 127,49 127,49 127,49 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-06 1 1 127,54 127,54 127,54 127,54 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-07 1 1 127,12 127,12 127,12 127,12 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-08 1 1 127,4 127,4 127,4 127,4 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-11 1 1 127,81 127,81 127,81 127,81 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-12 1 1 127,76 127,76 127,76 127,76 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-13 1 1 127,83 127,83 127,83 127,83 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-14 1 1 127,92 127,92 127,92 127,92 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-15 1 1 127,95 127,95 127,95 127,95 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-18 1 1 127,86 127,86 127,86 127,86 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-19 1 1 128 128 128 128 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-20 1 1 127,9 127,9 127,9 127,9 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-21 1 1 128,05 128,05 128,05 128,05 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-22 1 1 128,1 128,1 128,1 128,1 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-25 1 1 128,07 128,07 128,07 128,07 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-26 1 1 128,31 128,31 128,31 128,31 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-27 1 1 128,31 128,31 128,31 128,31 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-28 1 1 128,36 128,36 128,36 128,36 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-07-29 1 1 128,37 128,37 128,37 128,37 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-01 1 1 128,22 128,22 128,22 128,22 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-02 1 1 128,28 128,28 128,28 128,28 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-03 1 1 128,24 128,24 128,24 128,24 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-04 1 1 128,1 128,1 128,1 128,1 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-05 1 1 127,96 127,96 127,96 127,96 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-08 1 1 127,88 127,88 127,88 127,88 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-09 1 1 127,98 127,98 127,98 127,98 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-10 1 1 128,28 128,28 128,28 128,28 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-11 1 1 128,12 128,12 128,12 128,12 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-12 1 1 128,15 128,15 128,15 128,15 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-15 1 1 128,16 128,16 128,16 128,16 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-16 1 1 128,28 128,28 128,28 128,28 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-17 1 1 128,03 128,03 128,03 128,03 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-18 1 1 128,14 128,14 128,14 128,14 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-19 1 1 128,36 128,36 128,36 128,36 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-22 1 1 128,39 128,39 128,39 128,39 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-23 1 1 128,27 128,27 128,27 128,27 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-24 1 1 127,85 127,85 127,85 127,85 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-25 1 1 127,73 127,73 127,73 127,73 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-26 1 1 127,56 127,56 127,56 127,56 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-29 1 1 127,45 127,45 127,45 127,45 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-30 1 1 127,75 127,75 127,75 127,75 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-08-31 1 1 127,86 127,86 127,86 127,86 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-01 1 1 127,93 127,93 127,93 127,93 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-02 1 1 127,81 127,81 127,81 127,81 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-05 1 1 127,91 127,91 127,91 127,91 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-06 1 1 128,06 128,06 128,06 128,06 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-07 1 1 128,28 128,28 128,28 128,28 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-08 1 1 128,24 128,24 128,24 128,24 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-09 1 1 128,4 128,4 128,4 128,4 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-12 1 1 128,59 128,59 128,59 128,59 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-13 1 1 128,62 128,62 128,62 128,62 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-14 1 1 128,66 128,66 128,66 128,66 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-15 1 1 128,71 128,71 128,71 128,71 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-16 1 1 128,78 128,78 128,78 128,78 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-19 1 1 128,91 128,91 128,91 128,91 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-20 1 1 128,89 128,89 128,89 128,89 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-21 1 1 128,64 128,64 128,64 128,64 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-22 1 1 128,52 128,52 128,52 128,52 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-23 1 1 128,77 128,77 128,77 128,77 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-26 1 1 129,12 129,12 129,12 129,12 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-27 1 1 129,22 129,22 129,22 129,22 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-28 1 1 129,41 129,41 129,41 129,41 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-29 1 1 129,4 129,4 129,4 129,4 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-09-30 1 1 129,49 129,49 129,49 129,49 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-03 1 1 129,74 129,74 129,74 129,74 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-04 1 1 129,79 129,79 129,79 129,79 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-05 1 1 129,52 129,52 129,52 129,52 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-06 1 1 128,88 128,88 128,88 128,88 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-07 1 1 128,9 128,9 128,9 128,9 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-10 1 1 129,07 129,07 129,07 129,07 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-11 1 1 129,16 129,16 129,16 129,16 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-12 1 1 128,95 128,95 128,95 128,95 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-13 1 1 128,7 128,7 128,7 128,7 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-14 1 1 128,79 128,79 128,79 128,79 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-17 1 1 128,86 128,86 128,86 128,86 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-18 1 1 128,81 128,81 128,81 128,81 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-19 1 1 128,4 128,4 128,4 128,4 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-20 1 1 128,63 128,63 128,63 128,63 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-21 1 1 128,31 128,31 128,31 128,31 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-24 1 1 128,61 128,61 128,61 128,61 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-25 1 1 128,82 128,82 128,82 128,82 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-26 1 1 128,83 128,83 128,83 128,83 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-27 1 1 128,64 128,64 128,64 128,64 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-28 1 1 128,54 128,54 128,54 128,54 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-10-31 1 1 129,16 129,16 129,16 129,16 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-01 1 1 129,45 129,45 129,45 129,45 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-02 1 1 129,38 129,38 129,38 129,38 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-03 1 1 129,9 129,9 129,9 129,9 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-04 1 1 130 130 130 130 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-07 1 1 130,29 130,29 130,29 130,29 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-08 1 1 130,19 130,19 130,19 130,19 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-09 1 1 130,21 130,21 130,21 130,21 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-10 1 1 130,37 130,37 130,37 130,37 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-11 1 1 130,59 130,59 130,59 130,59 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-14 1 1 130,64 130,64 130,64 130,64 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-15 1 1 130,65 130,65 130,65 130,65 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-16 1 1 130,65 130,65 130,65 130,65 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-17 1 1 130,84 130,84 130,84 130,84 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-18 1 1 130,98 130,98 130,98 130,98 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-21 1 1 130,9 130,9 130,9 130,9 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-22 1 1 130,99 130,99 130,99 130,99 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-23 1 1 130,91 130,91 130,91 130,91 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-24 1 1 130,9 130,9 130,9 130,9 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-25 1 1 131 131 131 131 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-28 1 1 131,17 131,17 131,17 131,17 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-29 1 1 131,04 131,04 131,04 131,04 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-11-30 1 1 130,89 130,89 130,89 130,89 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-01 1 1 131,2 131,2 131,2 131,2 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-02 1 1 131,41 131,41 131,41 131,41 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-05 1 1 131,41 131,41 131,41 131,41 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-06 1 1 131,44 131,44 131,44 131,44 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-07 1 1 131,52 131,52 131,52 131,52 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-08 1 1 131,43 131,43 131,43 131,43 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-12 1 1 131,46 131,46 131,46 131,46 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-13 1 1 131,47 131,47 131,47 131,47 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-14 1 1 131,35 131,35 131,35 131,35 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-15 1 1 131,4 131,4 131,4 131,4 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-16 1 1 131,55 131,55 131,55 131,55 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-19 1 1 131,61 131,61 131,61 131,61 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-20 1 1 131,58 131,58 131,58 131,58 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-21 1 1 131,92 131,92 131,92 131,92 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-22 1 1 132,09 132,09 132,09 132,09 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-23 1 1 132,34 132,34 132,34 132,34 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-27 1 1 132,47 132,47 132,47 132,47 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-28 1 1 132,23 132,23 132,23 132,23 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-29 1 1 132,39 132,39 132,39 132,39 355651 SPP Fonder AB SPP Generation 30-tal SEK 2005-12-30 1 1 132,22 132,22 132,22 132,22 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-03 1 1 174,47 174,47 174,47 174,47 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-04 1 1 174,78 174,78 174,78 174,78 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-05 1 1 174,48 174,48 174,48 174,48 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-07 1 1 174,89 174,89 174,89 174,89 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-10 1 1 175,29 175,29 175,29 175,29 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-11 1 1 175,08 175,08 175,08 175,08 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-12 1 1 174,83 174,83 174,83 174,83 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-13 1 1 174,81 174,81 174,81 174,81 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-14 1 1 175,09 175,09 175,09 175,09 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-17 1 1 175,44 175,44 175,44 175,44 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-18 1 1 175,23 175,23 175,23 175,23 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-19 1 1 175,66 175,66 175,66 175,66 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-20 1 1 175,2 175,2 175,2 175,2 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-21 1 1 175,25 175,25 175,25 175,25 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-24 1 1 175 175 175 175 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-25 1 1 175,24 175,24 175,24 175,24 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-26 1 1 175,41 175,41 175,41 175,41 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-27 1 1 175,55 175,55 175,55 175,55 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-28 1 1 175,65 175,65 175,65 175,65 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-01-31 1 1 175,9 175,9 175,9 175,9 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-01 1 1 176,01 176,01 176,01 176,01 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-02 1 1 176,13 176,13 176,13 176,13 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-03 1 1 176,14 176,14 176,14 176,14 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-04 1 1 176,56 176,56 176,56 176,56 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-07 1 1 177,17 177,17 177,17 177,17 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-08 1 1 177,36 177,36 177,36 177,36 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-09 1 1 177,57 177,57 177,57 177,57 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-10 1 1 177,29 177,29 177,29 177,29 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-11 1 1 177,33 177,33 177,33 177,33 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-14 1 1 177,38 177,38 177,38 177,38 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-15 1 1 177,32 177,32 177,32 177,32 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-16 1 1 177 177 177 177 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-17 1 1 177,17 177,17 177,17 177,17 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-18 1 1 176,57 176,57 176,57 176,57 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-21 1 1 176,82 176,82 176,82 176,82 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-22 1 1 176,24 176,24 176,24 176,24 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-23 1 1 176,36 176,36 176,36 176,36 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-24 1 1 176,11 176,11 176,11 176,11 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-25 1 1 176,44 176,44 176,44 176,44 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-02-28 1 1 176,6 176,6 176,6 176,6 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-01 1 1 176,63 176,63 176,63 176,63 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-02 1 1 176,73 176,73 176,73 176,73 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-03 1 1 176,93 176,93 176,93 176,93 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-04 1 1 176,98 176,98 176,98 176,98 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-07 1 1 176,99 176,99 176,99 176,99 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-08 1 1 172,08 172,08 172,08 172,08 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-09 1 1 171,82 171,82 171,82 171,82 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-10 1 1 171,53 171,53 171,53 171,53 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-11 1 1 171,46 171,46 171,46 171,46 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-14 1 1 171,49 171,49 171,49 171,49 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-15 1 1 172,05 172,05 172,05 172,05 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-16 1 1 171,45 171,45 171,45 171,45 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-17 1 1 171,56 171,56 171,56 171,56 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-18 1 1 171,8 171,8 171,8 171,8 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-21 1 1 171,97 171,97 171,97 171,97 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-22 1 1 172,09 172,09 172,09 172,09 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-23 1 1 171,78 171,78 171,78 171,78 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-24 1 1 172,1 172,1 172,1 172,1 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-29 1 1 172,32 172,32 172,32 172,32 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-30 1 1 172,23 172,23 172,23 172,23 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-03-31 1 1 172,67 172,67 172,67 172,67 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-01 1 1 172,96 172,96 172,96 172,96 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-04 1 1 173,08 173,08 173,08 173,08 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-05 1 1 173,39 173,39 173,39 173,39 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-06 1 1 173,54 173,54 173,54 173,54 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-07 1 1 173,42 173,42 173,42 173,42 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-08 1 1 173,83 173,83 173,83 173,83 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-11 1 1 173,64 173,64 173,64 173,64 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-12 1 1 173,6 173,6 173,6 173,6 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-13 1 1 174,03 174,03 174,03 174,03 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-14 1 1 174,22 174,22 174,22 174,22 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-15 1 1 173,45 173,45 173,45 173,45 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-18 1 1 172,35 172,35 172,35 172,35 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-19 1 1 172,81 172,81 172,81 172,81 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-20 1 1 172,81 172,81 172,81 172,81 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-21 1 1 172,51 172,51 172,51 172,51 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-22 1 1 173,21 173,21 173,21 173,21 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-25 1 1 173,23 173,23 173,23 173,23 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-26 1 1 173,02 173,02 173,02 173,02 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-27 1 1 172,39 172,39 172,39 172,39 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-28 1 1 172,33 172,33 172,33 172,33 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-04-29 1 1 172,67 172,67 172,67 172,67 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-02 1 1 173,41 173,41 173,41 173,41 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-03 1 1 173,39 173,39 173,39 173,39 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-04 1 1 173,1 173,1 173,1 173,1 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-06 1 1 173,82 173,82 173,82 173,82 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-09 1 1 173,99 173,99 173,99 173,99 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-10 1 1 174,03 174,03 174,03 174,03 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-11 1 1 174,35 174,35 174,35 174,35 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-12 1 1 174,72 174,72 174,72 174,72 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-13 1 1 174,82 174,82 174,82 174,82 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-16 1 1 174,76 174,76 174,76 174,76 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-17 1 1 174,9 174,9 174,9 174,9 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-18 1 1 175,62 175,62 175,62 175,62 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-19 1 1 175,78 175,78 175,78 175,78 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-20 1 1 175,85 175,85 175,85 175,85 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-23 1 1 175,88 175,88 175,88 175,88 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-24 1 1 175,99 175,99 175,99 175,99 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-25 1 1 176,03 176,03 176,03 176,03 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-26 1 1 176,36 176,36 176,36 176,36 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-27 1 1 176,43 176,43 176,43 176,43 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-30 1 1 176,59 176,59 176,59 176,59 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-05-31 1 1 177,31 177,31 177,31 177,31 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-01 1 1 177,52 177,52 177,52 177,52 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-02 1 1 177,38 177,38 177,38 177,38 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-03 1 1 177,51 177,51 177,51 177,51 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-07 1 1 177,56 177,56 177,56 177,56 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-08 1 1 178,2 178,2 178,2 178,2 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-09 1 1 178,25 178,25 178,25 178,25 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-10 1 1 178,79 178,79 178,79 178,79 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-13 1 1 179,16 179,16 179,16 179,16 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-14 1 1 179,36 179,36 179,36 179,36 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-15 1 1 179,29 179,29 179,29 179,29 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-16 1 1 179,02 179,02 179,02 179,02 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-17 1 1 179,24 179,24 179,24 179,24 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-20 1 1 179,2 179,2 179,2 179,2 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-21 1 1 179,91 179,91 179,91 179,91 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-22 1 1 180,67 180,67 180,67 180,67 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-23 1 1 181,36 181,36 181,36 181,36 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-27 1 1 180,35 180,35 180,35 180,35 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-28 1 1 180,58 180,58 180,58 180,58 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-29 1 1 181,53 181,53 181,53 181,53 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-06-30 1 1 181,54 181,54 181,54 181,54 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-01 1 1 181,68 181,68 181,68 181,68 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-04 1 1 182,22 182,22 182,22 182,22 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-05 1 1 181,73 181,73 181,73 181,73 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-06 1 1 181,72 181,72 181,72 181,72 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-07 1 1 181 181 181 181 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-08 1 1 181,6 181,6 181,6 181,6 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-11 1 1 182,36 182,36 182,36 182,36 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-12 1 1 182,04 182,04 182,04 182,04 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-13 1 1 181,99 181,99 181,99 181,99 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-14 1 1 182,17 182,17 182,17 182,17 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-15 1 1 182,2 182,2 182,2 182,2 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-18 1 1 182,02 182,02 182,02 182,02 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-19 1 1 182,4 182,4 182,4 182,4 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-20 1 1 182,21 182,21 182,21 182,21 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-21 1 1 182,49 182,49 182,49 182,49 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-22 1 1 182,63 182,63 182,63 182,63 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-25 1 1 182,6 182,6 182,6 182,6 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-26 1 1 183,17 183,17 183,17 183,17 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-27 1 1 183,16 183,16 183,16 183,16 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-28 1 1 183,11 183,11 183,11 183,11 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-07-29 1 1 183,17 183,17 183,17 183,17 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-01 1 1 182,39 182,39 182,39 182,39 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-02 1 1 182,37 182,37 182,37 182,37 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-03 1 1 182,41 182,41 182,41 182,41 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-04 1 1 182,04 182,04 182,04 182,04 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-05 1 1 181,59 181,59 181,59 181,59 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-08 1 1 181,38 181,38 181,38 181,38 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-09 1 1 181,65 181,65 181,65 181,65 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-10 1 1 182,29 182,29 182,29 182,29 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-11 1 1 181,88 181,88 181,88 181,88 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-12 1 1 181,95 181,95 181,95 181,95 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-15 1 1 182,11 182,11 182,11 182,11 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-16 1 1 182,47 182,47 182,47 182,47 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-17 1 1 181,98 181,98 181,98 181,98 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-18 1 1 182,31 182,31 182,31 182,31 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-19 1 1 182,83 182,83 182,83 182,83 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-22 1 1 182,94 182,94 182,94 182,94 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-23 1 1 182,71 182,71 182,71 182,71 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-24 1 1 181,81 181,81 181,81 181,81 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-25 1 1 181,59 181,59 181,59 181,59 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-26 1 1 181,2 181,2 181,2 181,2 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-29 1 1 180,94 180,94 180,94 180,94 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-30 1 1 181,59 181,59 181,59 181,59 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-08-31 1 1 181,85 181,85 181,85 181,85 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-01 1 1 182,11 182,11 182,11 182,11 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-02 1 1 181,87 181,87 181,87 181,87 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-05 1 1 182,07 182,07 182,07 182,07 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-06 1 1 182,37 182,37 182,37 182,37 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-07 1 1 182,79 182,79 182,79 182,79 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-08 1 1 182,69 182,69 182,69 182,69 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-09 1 1 182,99 182,99 182,99 182,99 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-12 1 1 183,35 183,35 183,35 183,35 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-13 1 1 183,42 183,42 183,42 183,42 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-14 1 1 183,49 183,49 183,49 183,49 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-15 1 1 183,51 183,51 183,51 183,51 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-16 1 1 183,69 183,69 183,69 183,69 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-19 1 1 183,96 183,96 183,96 183,96 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-20 1 1 183,85 183,85 183,85 183,85 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-21 1 1 183,36 183,36 183,36 183,36 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-22 1 1 183,09 183,09 183,09 183,09 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-23 1 1 183,56 183,56 183,56 183,56 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-26 1 1 184,18 184,18 184,18 184,18 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-27 1 1 184,39 184,39 184,39 184,39 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-28 1 1 184,76 184,76 184,76 184,76 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-29 1 1 184,69 184,69 184,69 184,69 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-09-30 1 1 184,86 184,86 184,86 184,86 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-03 1 1 185,3 185,3 185,3 185,3 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-04 1 1 185,35 185,35 185,35 185,35 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-05 1 1 184,84 184,84 184,84 184,84 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-06 1 1 183,51 183,51 183,51 183,51 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-07 1 1 183,55 183,55 183,55 183,55 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-10 1 1 183,93 183,93 183,93 183,93 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-11 1 1 184,07 184,07 184,07 184,07 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-12 1 1 183,61 183,61 183,61 183,61 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-13 1 1 183,07 183,07 183,07 183,07 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-14 1 1 183,28 183,28 183,28 183,28 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-17 1 1 183,41 183,41 183,41 183,41 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-18 1 1 183,32 183,32 183,32 183,32 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-19 1 1 182,56 182,56 182,56 182,56 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-20 1 1 182,97 182,97 182,97 182,97 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-21 1 1 182,37 182,37 182,37 182,37 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-24 1 1 183,02 183,02 183,02 183,02 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-25 1 1 183,34 183,34 183,34 183,34 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-26 1 1 183,27 183,27 183,27 183,27 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-27 1 1 182,86 182,86 182,86 182,86 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-28 1 1 182,65 182,65 182,65 182,65 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-10-31 1 1 183,82 183,82 183,82 183,82 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-01 1 1 184,45 184,45 184,45 184,45 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-02 1 1 184,24 184,24 184,24 184,24 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-03 1 1 185,29 185,29 185,29 185,29 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-04 1 1 185,38 185,38 185,38 185,38 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-07 1 1 185,94 185,94 185,94 185,94 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-08 1 1 185,74 185,74 185,74 185,74 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-09 1 1 185,79 185,79 185,79 185,79 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-10 1 1 186,09 186,09 186,09 186,09 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-11 1 1 186,54 186,54 186,54 186,54 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-14 1 1 186,72 186,72 186,72 186,72 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-15 1 1 186,68 186,68 186,68 186,68 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-16 1 1 186,72 186,72 186,72 186,72 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-17 1 1 187 187 187 187 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-18 1 1 187,21 187,21 187,21 187,21 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-21 1 1 187,04 187,04 187,04 187,04 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-22 1 1 187,3 187,3 187,3 187,3 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-23 1 1 187,13 187,13 187,13 187,13 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-24 1 1 187,16 187,16 187,16 187,16 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-25 1 1 187,31 187,31 187,31 187,31 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-28 1 1 187,61 187,61 187,61 187,61 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-29 1 1 187,41 187,41 187,41 187,41 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-11-30 1 1 187,05 187,05 187,05 187,05 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-01 1 1 187,67 187,67 187,67 187,67 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-02 1 1 187,95 187,95 187,95 187,95 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-05 1 1 187,95 187,95 187,95 187,95 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-06 1 1 187,97 187,97 187,97 187,97 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-07 1 1 188,12 188,12 188,12 188,12 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-08 1 1 187,93 187,93 187,93 187,93 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-12 1 1 187,96 187,96 187,96 187,96 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-13 1 1 188 188 188 188 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-14 1 1 187,81 187,81 187,81 187,81 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-15 1 1 187,98 187,98 187,98 187,98 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-16 1 1 188,26 188,26 188,26 188,26 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-19 1 1 188,36 188,36 188,36 188,36 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-20 1 1 188,27 188,27 188,27 188,27 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-21 1 1 188,83 188,83 188,83 188,83 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-22 1 1 189,11 189,11 189,11 189,11 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-23 1 1 189,6 189,6 189,6 189,6 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-27 1 1 189,89 189,89 189,89 189,89 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-28 1 1 189,4 189,4 189,4 189,4 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-29 1 1 189,66 189,66 189,66 189,66 391482 Handelsbanken Fonder AB SPP Generation 40-tal SEK 2005-12-30 1 1 189,42 189,42 189,42 189,42 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-03 1 1 218,6 218,6 218,6 218,6 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-04 1 1 219,13 219,13 219,13 219,13 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-05 1 1 218,05 218,05 218,05 218,05 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-07 1 1 218,95 218,95 218,95 218,95 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-10 1 1 219,69 219,69 219,69 219,69 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-11 1 1 219,09 219,09 219,09 219,09 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-12 1 1 218,06 218,06 218,06 218,06 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-13 1 1 217,8 217,8 217,8 217,8 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-14 1 1 218,4 218,4 218,4 218,4 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-17 1 1 219,19 219,19 219,19 219,19 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-18 1 1 218,53 218,53 218,53 218,53 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-19 1 1 219,75 219,75 219,75 219,75 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-20 1 1 218,26 218,26 218,26 218,26 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-21 1 1 218,29 218,29 218,29 218,29 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-24 1 1 217,32 217,32 217,32 217,32 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-25 1 1 217,99 217,99 217,99 217,99 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-26 1 1 218,54 218,54 218,54 218,54 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-27 1 1 219,1 219,1 219,1 219,1 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-28 1 1 219,14 219,14 219,14 219,14 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-01-31 1 1 219,85 219,85 219,85 219,85 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-01 1 1 220,2 220,2 220,2 220,2 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-02 1 1 220,97 220,97 220,97 220,97 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-03 1 1 220,86 220,86 220,86 220,86 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-04 1 1 221,75 221,75 221,75 221,75 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-07 1 1 223,52 223,52 223,52 223,52 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-08 1 1 223,95 223,95 223,95 223,95 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-09 1 1 224,75 224,75 224,75 224,75 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-10 1 1 223,6 223,6 223,6 223,6 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-11 1 1 224,04 224,04 224,04 224,04 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-14 1 1 224,45 224,45 224,45 224,45 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-15 1 1 224,53 224,53 224,53 224,53 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-16 1 1 223,56 223,56 223,56 223,56 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-17 1 1 224,36 224,36 224,36 224,36 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-18 1 1 222,85 222,85 222,85 222,85 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-21 1 1 223,55 223,55 223,55 223,55 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-22 1 1 222,06 222,06 222,06 222,06 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-23 1 1 222,21 222,21 222,21 222,21 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-24 1 1 221,59 221,59 221,59 221,59 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-25 1 1 222,98 222,98 222,98 222,98 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-02-28 1 1 223,56 223,56 223,56 223,56 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-01 1 1 223,73 223,73 223,73 223,73 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-02 1 1 223,86 223,86 223,86 223,86 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-03 1 1 224,74 224,74 224,74 224,74 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-04 1 1 224,84 224,84 224,84 224,84 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-07 1 1 224,89 224,89 224,89 224,89 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-08 1 1 218,31 218,31 218,31 218,31 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-09 1 1 217,66 217,66 217,66 217,66 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-10 1 1 216,74 216,74 216,74 216,74 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-11 1 1 216,7 216,7 216,7 216,7 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-14 1 1 216,61 216,61 216,61 216,61 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-15 1 1 217,97 217,97 217,97 217,97 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-16 1 1 216,13 216,13 216,13 216,13 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-17 1 1 216,1 216,1 216,1 216,1 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-18 1 1 216,66 216,66 216,66 216,66 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-21 1 1 216,82 216,82 216,82 216,82 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-22 1 1 217,07 217,07 217,07 217,07 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-23 1 1 216,08 216,08 216,08 216,08 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-24 1 1 217,12 217,12 217,12 217,12 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-29 1 1 217,55 217,55 217,55 217,55 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-30 1 1 216,99 216,99 216,99 216,99 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-03-31 1 1 218,17 218,17 218,17 218,17 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-01 1 1 218,79 218,79 218,79 218,79 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-04 1 1 218,89 218,89 218,89 218,89 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-05 1 1 219,83 219,83 219,83 219,83 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-06 1 1 220,53 220,53 220,53 220,53 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-07 1 1 220,26 220,26 220,26 220,26 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-08 1 1 221,54 221,54 221,54 221,54 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-11 1 1 221,13 221,13 221,13 221,13 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-12 1 1 220,87 220,87 220,87 220,87 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-13 1 1 221,76 221,76 221,76 221,76 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-14 1 1 222,31 222,31 222,31 222,31 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-15 1 1 219,64 219,64 219,64 219,64 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-18 1 1 216,37 216,37 216,37 216,37 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-19 1 1 217,61 217,61 217,61 217,61 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-20 1 1 217,71 217,71 217,71 217,71 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-21 1 1 216,97 216,97 216,97 216,97 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-22 1 1 218,91 218,91 218,91 218,91 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-25 1 1 218,86 218,86 218,86 218,86 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-26 1 1 218,03 218,03 218,03 218,03 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-27 1 1 216,04 216,04 216,04 216,04 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-28 1 1 215,5 215,5 215,5 215,5 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-04-29 1 1 216,36 216,36 216,36 216,36 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-02 1 1 218,13 218,13 218,13 218,13 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-03 1 1 217,94 217,94 217,94 217,94 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-04 1 1 217,61 217,61 217,61 217,61 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-06 1 1 219,94 219,94 219,94 219,94 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-09 1 1 220,23 220,23 220,23 220,23 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-10 1 1 219,85 219,85 219,85 219,85 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-11 1 1 220,51 220,51 220,51 220,51 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-12 1 1 221,44 221,44 221,44 221,44 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-13 1 1 221,36 221,36 221,36 221,36 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-16 1 1 221,01 221,01 221,01 221,01 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-17 1 1 221,76 221,76 221,76 221,76 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-18 1 1 223,4 223,4 223,4 223,4 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-19 1 1 224,03 224,03 224,03 224,03 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-20 1 1 224,47 224,47 224,47 224,47 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-23 1 1 224,44 224,44 224,44 224,44 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-24 1 1 224,56 224,56 224,56 224,56 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-25 1 1 224,6 224,6 224,6 224,6 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-26 1 1 225,57 225,57 225,57 225,57 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-27 1 1 225,82 225,82 225,82 225,82 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-30 1 1 226,34 226,34 226,34 226,34 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-05-31 1 1 228,02 228,02 228,02 228,02 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-01 1 1 228,49 228,49 228,49 228,49 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-02 1 1 227,61 227,61 227,61 227,61 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-03 1 1 227,64 227,64 227,64 227,64 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-07 1 1 227,71 227,71 227,71 227,71 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-08 1 1 229,05 229,05 229,05 229,05 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-09 1 1 229,08 229,08 229,08 229,08 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-10 1 1 230,48 230,48 230,48 230,48 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-13 1 1 231,14 231,14 231,14 231,14 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-14 1 1 231,88 231,88 231,88 231,88 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-15 1 1 232,16 232,16 232,16 232,16 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-16 1 1 231,53 231,53 231,53 231,53 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-17 1 1 232,45 232,45 232,45 232,45 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-20 1 1 232,3 232,3 232,3 232,3 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-21 1 1 233,66 233,66 233,66 233,66 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-22 1 1 235,09 235,09 235,09 235,09 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-23 1 1 236,64 236,64 236,64 236,64 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-27 1 1 233,39 233,39 233,39 233,39 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-28 1 1 234,06 234,06 234,06 234,06 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-29 1 1 236,46 236,46 236,46 236,46 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-06-30 1 1 236,57 236,57 236,57 236,57 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-01 1 1 236,7 236,7 236,7 236,7 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-04 1 1 238,3 238,3 238,3 238,3 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-05 1 1 237,38 237,38 237,38 237,38 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-06 1 1 237,61 237,61 237,61 237,61 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-07 1 1 235,05 235,05 235,05 235,05 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-08 1 1 236,8 236,8 236,8 236,8 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-11 1 1 239,22 239,22 239,22 239,22 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-12 1 1 238,81 238,81 238,81 238,81 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-13 1 1 239,08 239,08 239,08 239,08 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-14 1 1 239,59 239,59 239,59 239,59 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-15 1 1 239,73 239,73 239,73 239,73 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-18 1 1 239,14 239,14 239,14 239,14 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-19 1 1 240,01 240,01 240,01 240,01 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-20 1 1 239,4 239,4 239,4 239,4 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-21 1 1 240,27 240,27 240,27 240,27 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-22 1 1 240,6 240,6 240,6 240,6 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-25 1 1 240,44 240,44 240,44 240,44 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-26 1 1 241,86 241,86 241,86 241,86 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-27 1 1 241,86 241,86 241,86 241,86 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-28 1 1 242,08 242,08 242,08 242,08 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-07-29 1 1 242,2 242,2 242,2 242,2 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-01 1 1 241,09 241,09 241,09 241,09 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-02 1 1 241,38 241,38 241,38 241,38 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-03 1 1 241,08 241,08 241,08 241,08 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-04 1 1 240,21 240,21 240,21 240,21 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-05 1 1 239,21 239,21 239,21 239,21 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-08 1 1 238,61 238,61 238,61 238,61 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-09 1 1 239,2 239,2 239,2 239,2 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-10 1 1 241,06 241,06 241,06 241,06 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-11 1 1 240,08 240,08 240,08 240,08 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-12 1 1 240,24 240,24 240,24 240,24 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-15 1 1 240,33 240,33 240,33 240,33 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-16 1 1 241,13 241,13 241,13 241,13 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-17 1 1 239,56 239,56 239,56 239,56 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-18 1 1 240,27 240,27 240,27 240,27 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-19 1 1 241,61 241,61 241,61 241,61 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-22 1 1 241,83 241,83 241,83 241,83 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-23 1 1 241,07 241,07 241,07 241,07 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-24 1 1 238,5 238,5 238,5 238,5 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-25 1 1 237,69 237,69 237,69 237,69 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-26 1 1 236,65 236,65 236,65 236,65 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-29 1 1 235,89 235,89 235,89 235,89 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-30 1 1 237,79 237,79 237,79 237,79 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-08-31 1 1 238,49 238,49 238,49 238,49 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-01 1 1 239,13 239,13 239,13 239,13 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-02 1 1 238,36 238,36 238,36 238,36 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-05 1 1 238,86 238,86 238,86 238,86 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-06 1 1 239,81 239,81 239,81 239,81 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-07 1 1 241,08 241,08 241,08 241,08 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-08 1 1 240,72 240,72 240,72 240,72 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-09 1 1 241,51 241,51 241,51 241,51 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-12 1 1 242,73 242,73 242,73 242,73 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-13 1 1 242,95 242,95 242,95 242,95 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-14 1 1 243,12 243,12 243,12 243,12 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-15 1 1 243,29 243,29 243,29 243,29 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-16 1 1 243,89 243,89 243,89 243,89 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-19 1 1 244,68 244,68 244,68 244,68 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-20 1 1 244,4 244,4 244,4 244,4 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-21 1 1 242,75 242,75 242,75 242,75 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-22 1 1 242,03 242,03 242,03 242,03 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-23 1 1 243,49 243,49 243,49 243,49 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-26 1 1 245,45 245,45 245,45 245,45 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-27 1 1 246,04 246,04 246,04 246,04 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-28 1 1 247,11 247,11 247,11 247,11 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-29 1 1 246,96 246,96 246,96 246,96 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-09-30 1 1 247,46 247,46 247,46 247,46 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-03 1 1 248,87 248,87 248,87 248,87 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-04 1 1 249,15 249,15 249,15 249,15 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-05 1 1 247,64 247,64 247,64 247,64 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-06 1 1 243,69 243,69 243,69 243,69 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-07 1 1 243,88 243,88 243,88 243,88 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-10 1 1 244,92 244,92 244,92 244,92 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-11 1 1 245,35 245,35 245,35 245,35 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-12 1 1 244 244 244 244 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-13 1 1 242,4 242,4 242,4 242,4 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-14 1 1 242,97 242,97 242,97 242,97 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-17 1 1 243,38 243,38 243,38 243,38 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-18 1 1 243,08 243,08 243,08 243,08 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-19 1 1 240,66 240,66 240,66 240,66 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-20 1 1 241,96 241,96 241,96 241,96 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-21 1 1 240,01 240,01 240,01 240,01 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-24 1 1 241,92 241,92 241,92 241,92 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-25 1 1 243,02 243,02 243,02 243,02 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-26 1 1 242,99 242,99 242,99 242,99 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-27 1 1 241,69 241,69 241,69 241,69 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-28 1 1 241,09 241,09 241,09 241,09 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-10-31 1 1 244,75 244,75 244,75 244,75 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-01 1 1 246,61 246,61 246,61 246,61 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-02 1 1 246,13 246,13 246,13 246,13 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-03 1 1 249,35 249,35 249,35 249,35 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-04 1 1 249,82 249,82 249,82 249,82 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-07 1 1 251,57 251,57 251,57 251,57 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-08 1 1 250,95 250,95 250,95 250,95 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-09 1 1 251,04 251,04 251,04 251,04 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-10 1 1 251,97 251,97 251,97 251,97 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-11 1 1 253,28 253,28 253,28 253,28 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-14 1 1 253,78 253,78 253,78 253,78 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-15 1 1 253,7 253,7 253,7 253,7 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-16 1 1 253,6 253,6 253,6 253,6 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-17 1 1 254,56 254,56 254,56 254,56 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-18 1 1 255,29 255,29 255,29 255,29 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-21 1 1 254,77 254,77 254,77 254,77 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-22 1 1 255,47 255,47 255,47 255,47 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-23 1 1 254,87 254,87 254,87 254,87 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-24 1 1 254,85 254,85 254,85 254,85 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-25 1 1 255,37 255,37 255,37 255,37 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-28 1 1 256,31 256,31 256,31 256,31 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-29 1 1 255,63 255,63 255,63 255,63 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-11-30 1 1 254,6 254,6 254,6 254,6 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-01 1 1 256,38 256,38 256,38 256,38 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-02 1 1 257,47 257,47 257,47 257,47 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-05 1 1 257,51 257,51 257,51 257,51 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-06 1 1 257,61 257,61 257,61 257,61 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-07 1 1 258,23 258,23 258,23 258,23 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-08 1 1 257,66 257,66 257,66 257,66 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-12 1 1 257,7 257,7 257,7 257,7 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-13 1 1 257,72 257,72 257,72 257,72 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-14 1 1 257,01 257,01 257,01 257,01 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-15 1 1 257,49 257,49 257,49 257,49 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-16 1 1 258,35 258,35 258,35 258,35 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-19 1 1 258,56 258,56 258,56 258,56 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-20 1 1 258,25 258,25 258,25 258,25 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-21 1 1 260,12 260,12 260,12 260,12 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-22 1 1 260,87 260,87 260,87 260,87 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-23 1 1 262,37 262,37 262,37 262,37 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-27 1 1 263,13 263,13 263,13 263,13 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-28 1 1 261,51 261,51 261,51 261,51 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-29 1 1 262,36 262,36 262,36 262,36 427310 Handelsbanken Fonder AB SPP Generation 50-tal SEK 2005-12-30 1 1 261,55 261,55 261,55 261,55 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-03 1 1 248,04 248,04 248,04 248,04 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-04 1 1 248,69 248,69 248,69 248,69 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-05 1 1 247,17 247,17 247,17 247,17 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-07 1 1 248,24 248,24 248,24 248,24 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-10 1 1 249,25 249,25 249,25 249,25 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-11 1 1 248,36 248,36 248,36 248,36 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-12 1 1 246,81 246,81 246,81 246,81 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-13 1 1 246,3 246,3 246,3 246,3 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-14 1 1 247,12 247,12 247,12 247,12 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-17 1 1 248,2 248,2 248,2 248,2 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-18 1 1 247,26 247,26 247,26 247,26 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-19 1 1 248,98 248,98 248,98 248,98 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-20 1 1 246,85 246,85 246,85 246,85 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-21 1 1 246,83 246,83 246,83 246,83 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-24 1 1 245,24 245,24 245,24 245,24 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-25 1 1 246,19 246,19 246,19 246,19 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-26 1 1 247,07 247,07 247,07 247,07 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-27 1 1 247,98 247,98 247,98 247,98 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-28 1 1 247,88 247,88 247,88 247,88 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-01-31 1 1 248,9 248,9 248,9 248,9 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-01 1 1 249,37 249,37 249,37 249,37 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-02 1 1 250,55 250,55 250,55 250,55 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-03 1 1 250,42 250,42 250,42 250,42 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-04 1 1 251,59 251,59 251,59 251,59 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-07 1 1 254,14 254,14 254,14 254,14 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-08 1 1 254,76 254,76 254,76 254,76 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-09 1 1 255,95 255,95 255,95 255,95 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-10 1 1 254,14 254,14 254,14 254,14 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-11 1 1 254,86 254,86 254,86 254,86 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-14 1 1 255,54 255,54 255,54 255,54 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-15 1 1 255,73 255,73 255,73 255,73 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-16 1 1 254,19 254,19 254,19 254,19 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-17 1 1 255,38 255,38 255,38 255,38 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-18 1 1 253,74 253,74 253,74 253,74 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-21 1 1 254,68 254,68 254,68 254,68 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-22 1 1 252,32 252,32 252,32 252,32 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-23 1 1 252,63 252,63 252,63 252,63 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-24 1 1 252,26 252,26 252,26 252,26 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-25 1 1 253,99 253,99 253,99 253,99 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-02-28 1 1 254,83 254,83 254,83 254,83 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-01 1 1 255,15 255,15 255,15 255,15 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-02 1 1 255,35 255,35 255,35 255,35 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-03 1 1 256,68 256,68 256,68 256,68 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-04 1 1 256,75 256,75 256,75 256,75 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-07 1 1 256,77 256,77 256,77 256,77 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-08 1 1 249,75 249,75 249,75 249,75 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-09 1 1 248,92 248,92 248,92 248,92 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-10 1 1 247,56 247,56 247,56 247,56 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-11 1 1 247,6 247,6 247,6 247,6 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-14 1 1 247,42 247,42 247,42 247,42 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-15 1 1 249,27 249,27 249,27 249,27 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-16 1 1 246,54 246,54 246,54 246,54 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-17 1 1 246,43 246,43 246,43 246,43 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-18 1 1 247,21 247,21 247,21 247,21 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-21 1 1 247,41 247,41 247,41 247,41 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-22 1 1 247,71 247,71 247,71 247,71 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-23 1 1 246,25 246,25 246,25 246,25 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-24 1 1 247,78 247,78 247,78 247,78 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-29 1 1 248,35 248,35 248,35 248,35 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-30 1 1 247,42 247,42 247,42 247,42 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-03-31 1 1 249,05 249,05 249,05 249,05 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-01 1 1 249,81 249,81 249,81 249,81 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-04 1 1 249,92 249,92 249,92 249,92 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-05 1 1 251,3 251,3 251,3 251,3 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-06 1 1 252,39 252,39 252,39 252,39 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-07 1 1 252,01 252,01 252,01 252,01 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-08 1 1 253,94 253,94 253,94 253,94 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-11 1 1 253,35 253,35 253,35 253,35 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-12 1 1 252,9 252,9 252,9 252,9 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-13 1 1 254,06 254,06 254,06 254,06 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-14 1 1 254,14 254,14 254,14 254,14 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-15 1 1 250,71 250,71 250,71 250,71 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-18 1 1 246,39 246,39 246,39 246,39 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-19 1 1 248,01 248,01 248,01 248,01 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-20 1 1 248,15 248,15 248,15 248,15 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-21 1 1 247,15 247,15 247,15 247,15 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-22 1 1 249,75 249,75 249,75 249,75 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-25 1 1 249,67 249,67 249,67 249,67 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-26 1 1 248,62 248,62 248,62 248,62 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-27 1 1 245,96 245,96 245,96 245,96 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-28 1 1 245,19 245,19 245,19 245,19 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-04-29 1 1 246,31 246,31 246,31 246,31 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-02 1 1 248,6 248,6 248,6 248,6 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-03 1 1 248,33 248,33 248,33 248,33 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-04 1 1 247,98 247,98 247,98 247,98 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-06 1 1 251,15 251,15 251,15 251,15 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-09 1 1 251,5 251,5 251,5 251,5 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-10 1 1 250,89 250,89 250,89 250,89 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-11 1 1 251,72 251,72 251,72 251,72 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-12 1 1 252,95 252,95 252,95 252,95 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-13 1 1 252,79 252,79 252,79 252,79 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-16 1 1 252,29 252,29 252,29 252,29 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-17 1 1 253,41 253,41 253,41 253,41 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-18 1 1 255,41 255,41 255,41 255,41 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-19 1 1 256,26 256,26 256,26 256,26 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-20 1 1 256,9 256,9 256,9 256,9 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-23 1 1 256,84 256,84 256,84 256,84 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-24 1 1 256,96 256,96 256,96 256,96 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-25 1 1 256,98 256,98 256,98 256,98 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-26 1 1 258,3 258,3 258,3 258,3 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-27 1 1 258,63 258,63 258,63 258,63 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-30 1 1 259,36 259,36 259,36 259,36 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-05-31 1 1 261,52 261,52 261,52 261,52 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-01 1 1 262,09 262,09 262,09 262,09 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-02 1 1 260,87 260,87 260,87 260,87 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-03 1 1 260,85 260,85 260,85 260,85 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-07 1 1 260,93 260,93 260,93 260,93 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-08 1 1 262,6 262,6 262,6 262,6 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-09 1 1 262,65 262,65 262,65 262,65 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-10 1 1 264,49 264,49 264,49 264,49 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-13 1 1 265,33 265,33 265,33 265,33 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-14 1 1 266,36 266,36 266,36 266,36 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-15 1 1 266,84 266,84 266,84 266,84 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-16 1 1 266,04 266,04 266,04 266,04 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-17 1 1 267,12 267,12 267,12 267,12 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-20 1 1 266,89 266,89 266,89 266,89 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-21 1 1 268,61 268,61 268,61 268,61 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-22 1 1 270,38 270,38 270,38 270,38 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-23 1 1 272,51 272,51 272,51 272,51 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-27 1 1 267,84 267,84 267,84 267,84 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-28 1 1 268,82 268,82 268,82 268,82 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-29 1 1 272,11 272,11 272,11 272,11 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-06-30 1 1 272,29 272,29 272,29 272,29 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-01 1 1 272,39 272,39 272,39 272,39 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-04 1 1 274,86 274,86 274,86 274,86 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-05 1 1 273,69 273,69 273,69 273,69 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-06 1 1 274,03 274,03 274,03 274,03 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-07 1 1 270,16 270,16 270,16 270,16 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-08 1 1 272,67 272,67 272,67 272,67 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-11 1 1 276,32 276,32 276,32 276,32 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-12 1 1 275,85 275,85 275,85 275,85 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-13 1 1 276,35 276,35 276,35 276,35 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-14 1 1 277,13 277,13 277,13 277,13 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-15 1 1 277,43 277,43 277,43 277,43 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-18 1 1 276,5 276,5 276,5 276,5 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-19 1 1 277,76 277,76 277,76 277,76 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-20 1 1 276,8 276,8 276,8 276,8 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-21 1 1 278,04 278,04 278,04 278,04 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-22 1 1 278,47 278,47 278,47 278,47 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-25 1 1 278,15 278,15 278,15 278,15 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-26 1 1 280,26 280,26 280,26 280,26 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-27 1 1 280,22 280,22 280,22 280,22 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-28 1 1 280,65 280,65 280,65 280,65 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-07-29 1 1 280,81 280,81 280,81 280,81 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-01 1 1 279,45 279,45 279,45 279,45 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-02 1 1 280,04 280,04 280,04 280,04 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-03 1 1 279,66 279,66 279,66 279,66 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-04 1 1 278,36 278,36 278,36 278,36 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-05 1 1 277,04 277,04 277,04 277,04 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-08 1 1 276,17 276,17 276,17 276,17 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-09 1 1 276,99 276,99 276,99 276,99 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-10 1 1 279,75 279,75 279,75 279,75 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-11 1 1 278,31 278,31 278,31 278,31 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-12 1 1 278,51 278,51 278,51 278,51 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-15 1 1 278,53 278,53 278,53 278,53 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-16 1 1 279,65 279,65 279,65 279,65 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-17 1 1 277,32 277,32 277,32 277,32 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-18 1 1 278,35 278,35 278,35 278,35 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-19 1 1 280,3 280,3 280,3 280,3 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-22 1 1 280,54 280,54 280,54 280,54 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-23 1 1 279,34 279,34 279,34 279,34 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-24 1 1 275,5 275,5 275,5 275,5 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-25 1 1 274,28 274,28 274,28 274,28 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-26 1 1 272,73 272,73 272,73 272,73 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-29 1 1 271,65 271,65 271,65 271,65 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-30 1 1 274,46 274,46 274,46 274,46 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-08-31 1 1 275,46 275,46 275,46 275,46 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-01 1 1 276,22 276,22 276,22 276,22 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-02 1 1 275,02 275,02 275,02 275,02 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-05 1 1 275,71 275,71 275,71 275,71 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-06 1 1 277,2 277,2 277,2 277,2 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-07 1 1 279,06 279,06 279,06 279,06 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-08 1 1 278,35 278,35 278,35 278,35 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-09 1 1 279,39 279,39 279,39 279,39 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-12 1 1 281,08 281,08 281,08 281,08 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-13 1 1 281,38 281,38 281,38 281,38 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-14 1 1 281,7 281,7 281,7 281,7 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-15 1 1 281,85 281,85 281,85 281,85 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-16 1 1 282,78 282,78 282,78 282,78 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-19 1 1 283,86 283,86 283,86 283,86 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-20 1 1 283,72 283,72 283,72 283,72 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-21 1 1 281,25 281,25 281,25 281,25 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-22 1 1 280,2 280,2 280,2 280,2 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-23 1 1 282,45 282,45 282,45 282,45 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-26 1 1 285,46 285,46 285,46 285,46 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-27 1 1 286,32 286,32 286,32 286,32 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-28 1 1 287,97 287,97 287,97 287,97 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-29 1 1 287,81 287,81 287,81 287,81 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-09-30 1 1 288,49 288,49 288,49 288,49 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-03 1 1 290,68 290,68 290,68 290,68 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-04 1 1 291,15 291,15 291,15 291,15 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-05 1 1 288,92 288,92 288,92 288,92 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-06 1 1 283,27 283,27 283,27 283,27 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-07 1 1 283,55 283,55 283,55 283,55 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-10 1 1 285,02 285,02 285,02 285,02 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-11 1 1 285,6 285,6 285,6 285,6 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-12 1 1 283,76 283,76 283,76 283,76 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-13 1 1 281,58 281,58 281,58 281,58 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-14 1 1 282,33 282,33 282,33 282,33 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-17 1 1 282,99 282,99 282,99 282,99 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-18 1 1 282,64 282,64 282,64 282,64 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-19 1 1 279,04 279,04 279,04 279,04 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-20 1 1 281,01 281,01 281,01 281,01 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-21 1 1 278,12 278,12 278,12 278,12 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-24 1 1 280,87 280,87 280,87 280,87 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-25 1 1 282,49 282,49 282,49 282,49 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-26 1 1 282,58 282,58 282,58 282,58 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-27 1 1 280,68 280,68 280,68 280,68 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-28 1 1 279,91 279,91 279,91 279,91 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-10-31 1 1 285,22 285,22 285,22 285,22 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-01 1 1 287,83 287,83 287,83 287,83 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-02 1 1 287,3 287,3 287,3 287,3 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-03 1 1 291,94 291,94 291,94 291,94 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-04 1 1 292,75 292,75 292,75 292,75 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-07 1 1 295,32 295,32 295,32 295,32 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-08 1 1 294,43 294,43 294,43 294,43 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-09 1 1 294,54 294,54 294,54 294,54 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-10 1 1 295,87 295,87 295,87 295,87 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-11 1 1 297,75 297,75 297,75 297,75 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-14 1 1 298,43 298,43 298,43 298,43 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-15 1 1 298,28 298,28 298,28 298,28 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-16 1 1 298,23 298,23 298,23 298,23 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-17 1 1 299,59 299,59 299,59 299,59 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-18 1 1 300,75 300,75 300,75 300,75 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-21 1 1 299,95 299,95 299,95 299,95 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-22 1 1 300,91 300,91 300,91 300,91 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-23 1 1 299,88 299,88 299,88 299,88 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-24 1 1 299,72 299,72 299,72 299,72 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-25 1 1 300,49 300,49 300,49 300,49 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-28 1 1 301,91 301,91 301,91 301,91 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-29 1 1 300,9 300,9 300,9 300,9 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-11-30 1 1 299,54 299,54 299,54 299,54 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-01 1 1 302,09 302,09 302,09 302,09 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-02 1 1 303,77 303,77 303,77 303,77 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-05 1 1 303,95 303,95 303,95 303,95 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-06 1 1 304,05 304,05 304,05 304,05 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-07 1 1 304,73 304,73 304,73 304,73 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-08 1 1 303,97 303,97 303,97 303,97 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-12 1 1 303,97 303,97 303,97 303,97 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-13 1 1 303,99 303,99 303,99 303,99 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-14 1 1 302,9 302,9 302,9 302,9 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-15 1 1 303,54 303,54 303,54 303,54 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-16 1 1 304,76 304,76 304,76 304,76 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-19 1 1 305,05 305,05 305,05 305,05 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-20 1 1 304,63 304,63 304,63 304,63 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-21 1 1 307,41 307,41 307,41 307,41 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-22 1 1 308,7 308,7 308,7 308,7 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-23 1 1 310,85 310,85 310,85 310,85 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-27 1 1 311,87 311,87 311,87 311,87 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-28 1 1 309,51 309,51 309,51 309,51 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-29 1 1 310,76 310,76 310,76 310,76 463141 Handelsbanken Fonder AB SPP Generation 60-tal SEK 2005-12-30 1 1 309,61 309,61 309,61 309,61 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-03 1 1 106,43 106,43 106,43 106,43 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-04 1 1 106,56 106,56 106,56 106,56 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-05 1 1 105,82 105,82 105,82 105,82 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-07 1 1 106,28 106,28 106,28 106,28 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-10 1 1 106,78 106,78 106,78 106,78 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-11 1 1 106,35 106,35 106,35 106,35 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-12 1 1 105,54 105,54 105,54 105,54 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-13 1 1 105,25 105,25 105,25 105,25 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-14 1 1 105,64 105,64 105,64 105,64 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-17 1 1 106,16 106,16 106,16 106,16 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-18 1 1 105,68 105,68 105,68 105,68 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-19 1 1 106,52 106,52 106,52 106,52 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-20 1 1 105,47 105,47 105,47 105,47 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-21 1 1 105,42 105,42 105,42 105,42 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-24 1 1 104,58 104,58 104,58 104,58 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-25 1 1 105,03 105,03 105,03 105,03 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-26 1 1 105,47 105,47 105,47 105,47 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-27 1 1 105,98 105,98 105,98 105,98 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-28 1 1 105,87 105,87 105,87 105,87 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-01-31 1 1 106,38 106,38 106,38 106,38 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-01 1 1 106,6 106,6 106,6 106,6 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-02 1 1 107,23 107,23 107,23 107,23 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-03 1 1 107,16 107,16 107,16 107,16 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-04 1 1 107,65 107,65 107,65 107,65 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-07 1 1 108,9 108,9 108,9 108,9 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-08 1 1 109,18 109,18 109,18 109,18 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-09 1 1 109,79 109,79 109,79 109,79 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-10 1 1 108,59 108,59 108,59 108,59 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-11 1 1 109,2 109,2 109,2 109,2 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-14 1 1 109,58 109,58 109,58 109,58 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-15 1 1 109,63 109,63 109,63 109,63 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-16 1 1 108,85 108,85 108,85 108,85 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-17 1 1 109,51 109,51 109,51 109,51 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-18 1 1 108,49 108,49 108,49 108,49 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-21 1 1 108,95 108,95 108,95 108,95 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-22 1 1 107,8 107,8 107,8 107,8 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-23 1 1 107,93 107,93 107,93 107,93 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-24 1 1 107,76 107,76 107,76 107,76 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-25 1 1 108,64 108,64 108,64 108,64 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-02-28 1 1 109,05 109,05 109,05 109,05 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-01 1 1 109,23 109,23 109,23 109,23 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-02 1 1 109,34 109,34 109,34 109,34 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-03 1 1 109,99 109,99 109,99 109,99 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-04 1 1 110 110 110 110 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-07 1 1 109,98 109,98 109,98 109,98 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-08 1 1 107,22 107,22 107,22 107,22 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-09 1 1 106,83 106,83 106,83 106,83 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-10 1 1 106,16 106,16 106,16 106,16 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-11 1 1 106,21 106,21 106,21 106,21 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-14 1 1 106,1 106,1 106,1 106,1 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-15 1 1 106,98 106,98 106,98 106,98 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-16 1 1 105,64 105,64 105,64 105,64 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-17 1 1 105,59 105,59 105,59 105,59 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-18 1 1 106,02 106,02 106,02 106,02 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-21 1 1 106,1 106,1 106,1 106,1 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-22 1 1 106,24 106,24 106,24 106,24 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-23 1 1 105,5 105,5 105,5 105,5 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-24 1 1 106,24 106,24 106,24 106,24 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-29 1 1 106,51 106,51 106,51 106,51 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-30 1 1 106,02 106,02 106,02 106,02 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-03-31 1 1 106,81 106,81 106,81 106,81 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-01 1 1 107,13 107,13 107,13 107,13 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-04 1 1 107,22 107,22 107,22 107,22 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-05 1 1 107,89 107,89 107,89 107,89 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-06 1 1 108,43 108,43 108,43 108,43 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-07 1 1 108,26 108,26 108,26 108,26 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-08 1 1 109,2 109,2 109,2 109,2 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-11 1 1 108,91 108,91 108,91 108,91 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-12 1 1 108,68 108,68 108,68 108,68 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-13 1 1 109,18 109,18 109,18 109,18 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-14 1 1 109,47 109,47 109,47 109,47 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-15 1 1 107,91 107,91 107,91 107,91 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-18 1 1 105,99 105,99 105,99 105,99 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-19 1 1 106,71 106,71 106,71 106,71 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-20 1 1 106,77 106,77 106,77 106,77 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-21 1 1 106,34 106,34 106,34 106,34 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-22 1 1 107,46 107,46 107,46 107,46 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-25 1 1 107,41 107,41 107,41 107,41 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-26 1 1 106,93 106,93 106,93 106,93 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-27 1 1 105,74 105,74 105,74 105,74 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-28 1 1 105,38 105,38 105,38 105,38 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-04-29 1 1 105,87 105,87 105,87 105,87 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-02 1 1 106,88 106,88 106,88 106,88 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-03 1 1 106,76 106,76 106,76 106,76 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-04 1 1 106,63 106,63 106,63 106,63 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-06 1 1 108,09 108,09 108,09 108,09 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-09 1 1 108,24 108,24 108,24 108,24 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-10 1 1 107,93 107,93 107,93 107,93 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-11 1 1 108,3 108,3 108,3 108,3 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-12 1 1 108,86 108,86 108,86 108,86 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-13 1 1 108,76 108,76 108,76 108,76 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-16 1 1 108,53 108,53 108,53 108,53 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-17 1 1 109,04 109,04 109,04 109,04 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-18 1 1 109,94 109,94 109,94 109,94 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-19 1 1 110,34 110,34 110,34 110,34 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-20 1 1 110,65 110,65 110,65 110,65 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-23 1 1 110,62 110,62 110,62 110,62 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-24 1 1 110,66 110,66 110,66 110,66 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-25 1 1 110,67 110,67 110,67 110,67 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-26 1 1 111,29 111,29 111,29 111,29 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-27 1 1 111,44 111,44 111,44 111,44 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-30 1 1 111,79 111,79 111,79 111,79 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-05-31 1 1 112,75 112,75 112,75 112,75 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-01 1 1 112,99 112,99 112,99 112,99 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-02 1 1 112,41 112,41 112,41 112,41 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-03 1 1 112,37 112,37 112,37 112,37 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-07 1 1 112,4 112,4 112,4 112,4 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-08 1 1 113,14 113,14 113,14 113,14 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-09 1 1 113,15 113,15 113,15 113,15 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-10 1 1 114,01 114,01 114,01 114,01 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-13 1 1 114,39 114,39 114,39 114,39 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-14 1 1 114,88 114,88 114,88 114,88 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-15 1 1 115,13 115,13 115,13 115,13 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-16 1 1 114,78 114,78 114,78 114,78 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-17 1 1 115,31 115,31 115,31 115,31 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-20 1 1 115,2 115,2 115,2 115,2 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-21 1 1 115,91 115,91 115,91 115,91 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-22 1 1 116,66 116,66 116,66 116,66 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-23 1 1 117,57 117,57 117,57 117,57 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-27 1 1 115,55 115,55 115,55 115,55 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-28 1 1 115,97 115,97 115,97 115,97 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-29 1 1 117,4 117,4 117,4 117,4 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-06-30 1 1 117,47 117,47 117,47 117,47 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-01 1 1 117,51 117,51 117,51 117,51 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-04 1 1 118,57 118,57 118,57 118,57 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-05 1 1 118,07 118,07 118,07 118,07 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-06 1 1 118,23 118,23 118,23 118,23 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-07 1 1 116,55 116,55 116,55 116,55 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-08 1 1 117,64 117,64 117,64 117,64 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-11 1 1 119,21 119,21 119,21 119,21 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-12 1 1 119,02 119,02 119,02 119,02 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-13 1 1 119,25 119,25 119,25 119,25 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-14 1 1 119,58 119,58 119,58 119,58 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-15 1 1 119,71 119,71 119,71 119,71 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-18 1 1 119,31 119,31 119,31 119,31 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-19 1 1 119,84 119,84 119,84 119,84 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-20 1 1 119,42 119,42 119,42 119,42 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-21 1 1 119,96 119,96 119,96 119,96 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-22 1 1 120,14 120,14 120,14 120,14 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-25 1 1 120,01 120,01 120,01 120,01 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-26 1 1 120,91 120,91 120,91 120,91 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-27 1 1 120,9 120,9 120,9 120,9 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-28 1 1 121,09 121,09 121,09 121,09 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-07-29 1 1 121,16 121,16 121,16 121,16 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-01 1 1 120,57 120,57 120,57 120,57 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-02 1 1 120,83 120,83 120,83 120,83 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-03 1 1 120,67 120,67 120,67 120,67 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-04 1 1 120,12 120,12 120,12 120,12 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-05 1 1 119,55 119,55 119,55 119,55 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-08 1 1 119,18 119,18 119,18 119,18 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-09 1 1 119,52 119,52 119,52 119,52 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-10 1 1 120,71 120,71 120,71 120,71 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-11 1 1 120,1 120,1 120,1 120,1 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-12 1 1 120,19 120,19 120,19 120,19 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-15 1 1 120,19 120,19 120,19 120,19 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-16 1 1 120,67 120,67 120,67 120,67 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-17 1 1 119,66 119,66 119,66 119,66 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-18 1 1 120,1 120,1 120,1 120,1 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-19 1 1 120,93 120,93 120,93 120,93 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-22 1 1 121,03 121,03 121,03 121,03 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-23 1 1 120,52 120,52 120,52 120,52 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-24 1 1 118,87 118,87 118,87 118,87 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-25 1 1 118,35 118,35 118,35 118,35 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-26 1 1 117,7 117,7 117,7 117,7 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-29 1 1 117,23 117,23 117,23 117,23 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-30 1 1 118,43 118,43 118,43 118,43 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-08-31 1 1 118,87 118,87 118,87 118,87 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-01 1 1 119,19 119,19 119,19 119,19 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-02 1 1 118,69 118,69 118,69 118,69 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-05 1 1 118,99 118,99 118,99 118,99 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-06 1 1 119,62 119,62 119,62 119,62 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-07 1 1 120,43 120,43 120,43 120,43 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-08 1 1 120,17 120,17 120,17 120,17 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-09 1 1 120,64 120,64 120,64 120,64 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-12 1 1 121,47 121,47 121,47 121,47 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-13 1 1 121,62 121,62 121,62 121,62 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-14 1 1 121,61 121,61 121,61 121,61 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-15 1 1 121,78 121,78 121,78 121,78 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-16 1 1 122,1 122,1 122,1 122,1 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-19 1 1 122,54 122,54 122,54 122,54 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-20 1 1 122,49 122,49 122,49 122,49 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-21 1 1 121,41 121,41 121,41 121,41 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-22 1 1 120,95 120,95 120,95 120,95 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-23 1 1 121,93 121,93 121,93 121,93 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-26 1 1 123,23 123,23 123,23 123,23 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-27 1 1 123,6 123,6 123,6 123,6 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-28 1 1 124,31 124,31 124,31 124,31 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-29 1 1 124,25 124,25 124,25 124,25 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-09-30 1 1 124,55 124,55 124,55 124,55 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-03 1 1 125,47 125,47 125,47 125,47 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-04 1 1 125,68 125,68 125,68 125,68 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-05 1 1 124,72 124,72 124,72 124,72 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-06 1 1 122,29 122,29 122,29 122,29 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-07 1 1 122,41 122,41 122,41 122,41 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-10 1 1 123,05 123,05 123,05 123,05 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-11 1 1 123,3 123,3 123,3 123,3 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-12 1 1 122,5 122,5 122,5 122,5 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-13 1 1 121,55 121,55 121,55 121,55 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-14 1 1 121,89 121,89 121,89 121,89 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-17 1 1 122,17 122,17 122,17 122,17 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-18 1 1 122,01 122,01 122,01 122,01 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-19 1 1 120,45 120,45 120,45 120,45 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-20 1 1 121,32 121,32 121,32 121,32 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-21 1 1 120,06 120,06 120,06 120,06 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-24 1 1 121,25 121,25 121,25 121,25 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-25 1 1 121,95 121,95 121,95 121,95 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-26 1 1 121,99 121,99 121,99 121,99 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-27 1 1 121,16 121,16 121,16 121,16 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-28 1 1 120,83 120,83 120,83 120,83 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-10-31 1 1 123,13 123,13 123,13 123,13 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-01 1 1 124,27 124,27 124,27 124,27 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-02 1 1 124,04 124,04 124,04 124,04 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-03 1 1 126,06 126,06 126,06 126,06 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-04 1 1 126,4 126,4 126,4 126,4 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-07 1 1 127,52 127,52 127,52 127,52 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-08 1 1 127,14 127,14 127,14 127,14 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-09 1 1 127,2 127,2 127,2 127,2 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-10 1 1 127,77 127,77 127,77 127,77 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-11 1 1 128,58 128,58 128,58 128,58 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-14 1 1 128,87 128,87 128,87 128,87 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-15 1 1 128,81 128,81 128,81 128,81 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-16 1 1 128,77 128,77 128,77 128,77 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-17 1 1 129,37 129,37 129,37 129,37 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-18 1 1 129,87 129,87 129,87 129,87 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-21 1 1 129,52 129,52 129,52 129,52 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-22 1 1 129,93 129,93 129,93 129,93 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-23 1 1 129,48 129,48 129,48 129,48 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-24 1 1 129,4 129,4 129,4 129,4 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-25 1 1 129,74 129,74 129,74 129,74 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-28 1 1 130,36 130,36 130,36 130,36 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-29 1 1 129,91 129,91 129,91 129,91 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-11-30 1 1 129,32 129,32 129,32 129,32 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-01 1 1 130,43 130,43 130,43 130,43 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-02 1 1 131,16 131,16 131,16 131,16 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-05 1 1 131,23 131,23 131,23 131,23 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-06 1 1 131,26 131,26 131,26 131,26 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-07 1 1 131,56 131,56 131,56 131,56 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-08 1 1 131,23 131,23 131,23 131,23 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-12 1 1 131,25 131,25 131,25 131,25 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-13 1 1 131,25 131,25 131,25 131,25 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-14 1 1 130,77 130,77 130,77 130,77 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-15 1 1 131,05 131,05 131,05 131,05 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-16 1 1 131,58 131,58 131,58 131,58 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-19 1 1 131,71 131,71 131,71 131,71 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-20 1 1 131,54 131,54 131,54 131,54 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-21 1 1 132,75 132,75 132,75 132,75 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-22 1 1 133,29 133,29 133,29 133,29 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-23 1 1 134,23 134,23 134,23 134,23 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-27 1 1 134,68 134,68 134,68 134,68 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-28 1 1 133,68 133,68 133,68 133,68 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-29 1 1 134,22 134,22 134,22 134,22 498972 Handelsbanken Fonder AB SPP Generation 70-tal SEK 2005-12-30 1 1 133,71 133,71 133,71 133,71 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-03 1 1 54,76 54,76 54,76 54,76 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-04 1 1 54,92 54,92 54,92 54,92 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-05 1 1 54,57 54,57 54,57 54,57 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-07 1 1 54,81 54,81 54,81 54,81 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-10 1 1 55,1 55,1 55,1 55,1 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-11 1 1 54,86 54,86 54,86 54,86 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-12 1 1 54,44 54,44 54,44 54,44 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-13 1 1 54,32 54,32 54,32 54,32 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-14 1 1 54,53 54,53 54,53 54,53 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-17 1 1 54,79 54,79 54,79 54,79 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-18 1 1 54,54 54,54 54,54 54,54 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-19 1 1 54,99 54,99 54,99 54,99 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-20 1 1 54,44 54,44 54,44 54,44 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-21 1 1 54,45 54,45 54,45 54,45 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-24 1 1 54,03 54,03 54,03 54,03 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-25 1 1 54,26 54,26 54,26 54,26 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-26 1 1 54,49 54,49 54,49 54,49 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-27 1 1 54,75 54,75 54,75 54,75 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-28 1 1 54,69 54,69 54,69 54,69 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-01-31 1 1 54,98 54,98 54,98 54,98 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-01 1 1 55,1 55,1 55,1 55,1 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-02 1 1 55,45 55,45 55,45 55,45 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-03 1 1 55,41 55,41 55,41 55,41 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-04 1 1 55,72 55,72 55,72 55,72 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-07 1 1 56,41 56,41 56,41 56,41 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-08 1 1 56,56 56,56 56,56 56,56 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-09 1 1 56,89 56,89 56,89 56,89 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-10 1 1 56,16 56,16 56,16 56,16 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-11 1 1 56,52 56,52 56,52 56,52 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-14 1 1 56,65 56,65 56,65 56,65 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-15 1 1 56,71 56,71 56,71 56,71 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-16 1 1 56,31 56,31 56,31 56,31 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-17 1 1 56,66 56,66 56,66 56,66 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-18 1 1 56,12 56,12 56,12 56,12 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-21 1 1 56,37 56,37 56,37 56,37 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-22 1 1 55,76 55,76 55,76 55,76 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-23 1 1 55,82 55,82 55,82 55,82 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-24 1 1 55,73 55,73 55,73 55,73 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-25 1 1 56,21 56,21 56,21 56,21 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-02-28 1 1 56,43 56,43 56,43 56,43 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-01 1 1 56,53 56,53 56,53 56,53 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-02 1 1 56,59 56,59 56,59 56,59 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-03 1 1 56,94 56,94 56,94 56,94 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-04 1 1 56,94 56,94 56,94 56,94 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-07 1 1 56,93 56,93 56,93 56,93 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-08 1 1 55,54 55,54 55,54 55,54 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-09 1 1 55,34 55,34 55,34 55,34 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-10 1 1 54,97 54,97 54,97 54,97 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-11 1 1 55,01 55,01 55,01 55,01 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-14 1 1 54,95 54,95 54,95 54,95 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-15 1 1 55,42 55,42 55,42 55,42 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-16 1 1 54,7 54,7 54,7 54,7 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-17 1 1 54,61 54,61 54,61 54,61 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-18 1 1 54,84 54,84 54,84 54,84 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-21 1 1 54,89 54,89 54,89 54,89 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-22 1 1 54,96 54,96 54,96 54,96 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-23 1 1 54,57 54,57 54,57 54,57 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-24 1 1 54,97 54,97 54,97 54,97 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-29 1 1 55,11 55,11 55,11 55,11 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-30 1 1 54,85 54,85 54,85 54,85 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-03-31 1 1 55,26 55,26 55,26 55,26 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-01 1 1 55,43 55,43 55,43 55,43 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-04 1 1 55,47 55,47 55,47 55,47 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-05 1 1 55,83 55,83 55,83 55,83 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-06 1 1 56,14 56,14 56,14 56,14 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-07 1 1 56,04 56,04 56,04 56,04 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-08 1 1 56,55 56,55 56,55 56,55 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-11 1 1 56,39 56,39 56,39 56,39 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-12 1 1 56,27 56,27 56,27 56,27 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-13 1 1 56,53 56,53 56,53 56,53 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-14 1 1 56,68 56,68 56,68 56,68 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-15 1 1 55,84 55,84 55,84 55,84 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-18 1 1 54,82 54,82 54,82 54,82 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-19 1 1 55,2 55,2 55,2 55,2 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-20 1 1 55,23 55,23 55,23 55,23 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-21 1 1 55 55 55 55 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-22 1 1 55,6 55,6 55,6 55,6 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-25 1 1 55,58 55,58 55,58 55,58 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-26 1 1 55,31 55,31 55,31 55,31 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-27 1 1 54,68 54,68 54,68 54,68 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-28 1 1 54,48 54,48 54,48 54,48 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-04-29 1 1 54,75 54,75 54,75 54,75 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-02 1 1 55,28 55,28 55,28 55,28 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-03 1 1 55,22 55,22 55,22 55,22 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-04 1 1 55,16 55,16 55,16 55,16 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-06 1 1 55,94 55,94 55,94 55,94 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-09 1 1 56,02 56,02 56,02 56,02 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-10 1 1 55,85 55,85 55,85 55,85 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-11 1 1 56,04 56,04 56,04 56,04 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-12 1 1 56,33 56,33 56,33 56,33 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-13 1 1 56,28 56,28 56,28 56,28 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-16 1 1 56,15 56,15 56,15 56,15 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-17 1 1 56,43 56,43 56,43 56,43 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-18 1 1 56,9 56,9 56,9 56,9 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-19 1 1 57,11 57,11 57,11 57,11 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-20 1 1 57,28 57,28 57,28 57,28 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-23 1 1 57,26 57,26 57,26 57,26 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-24 1 1 57,28 57,28 57,28 57,28 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-25 1 1 57,28 57,28 57,28 57,28 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-26 1 1 57,61 57,61 57,61 57,61 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-27 1 1 57,69 57,69 57,69 57,69 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-30 1 1 57,87 57,87 57,87 57,87 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-05-31 1 1 58,37 58,37 58,37 58,37 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-01 1 1 58,5 58,5 58,5 58,5 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-02 1 1 58,18 58,18 58,18 58,18 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-03 1 1 58,16 58,16 58,16 58,16 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-07 1 1 58,18 58,18 58,18 58,18 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-08 1 1 58,57 58,57 58,57 58,57 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-09 1 1 58,58 58,58 58,58 58,58 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-10 1 1 59,03 59,03 59,03 59,03 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-13 1 1 59,23 59,23 59,23 59,23 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-14 1 1 59,49 59,49 59,49 59,49 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-15 1 1 59,63 59,63 59,63 59,63 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-16 1 1 59,45 59,45 59,45 59,45 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-17 1 1 59,73 59,73 59,73 59,73 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-20 1 1 59,67 59,67 59,67 59,67 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-21 1 1 60,04 60,04 60,04 60,04 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-22 1 1 60,44 60,44 60,44 60,44 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-23 1 1 60,92 60,92 60,92 60,92 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-27 1 1 59,84 59,84 59,84 59,84 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-28 1 1 60,06 60,06 60,06 60,06 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-29 1 1 60,82 60,82 60,82 60,82 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-06-30 1 1 60,86 60,86 60,86 60,86 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-01 1 1 60,88 60,88 60,88 60,88 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-04 1 1 61,43 61,43 61,43 61,43 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-05 1 1 61,17 61,17 61,17 61,17 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-06 1 1 61,25 61,25 61,25 61,25 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-07 1 1 60,38 60,38 60,38 60,38 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-08 1 1 60,95 60,95 60,95 60,95 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-11 1 1 61,76 61,76 61,76 61,76 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-12 1 1 61,67 61,67 61,67 61,67 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-13 1 1 61,79 61,79 61,79 61,79 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-14 1 1 61,96 61,96 61,96 61,96 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-15 1 1 62,02 62,02 62,02 62,02 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-18 1 1 61,82 61,82 61,82 61,82 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-19 1 1 62,09 62,09 62,09 62,09 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-20 1 1 61,88 61,88 61,88 61,88 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-21 1 1 62,15 62,15 62,15 62,15 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-22 1 1 62,25 62,25 62,25 62,25 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-25 1 1 62,18 62,18 62,18 62,18 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-26 1 1 62,65 62,65 62,65 62,65 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-27 1 1 62,64 62,64 62,64 62,64 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-28 1 1 62,75 62,75 62,75 62,75 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-07-29 1 1 62,78 62,78 62,78 62,78 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-01 1 1 62,48 62,48 62,48 62,48 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-02 1 1 62,62 62,62 62,62 62,62 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-03 1 1 62,54 62,54 62,54 62,54 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-04 1 1 62,25 62,25 62,25 62,25 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-05 1 1 61,96 61,96 61,96 61,96 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-08 1 1 61,77 61,77 61,77 61,77 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-09 1 1 61,95 61,95 61,95 61,95 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-10 1 1 62,56 62,56 62,56 62,56 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-11 1 1 62,24 62,24 62,24 62,24 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-12 1 1 62,29 62,29 62,29 62,29 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-15 1 1 62,3 62,3 62,3 62,3 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-16 1 1 62,54 62,54 62,54 62,54 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-17 1 1 62,03 62,03 62,03 62,03 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-18 1 1 62,25 62,25 62,25 62,25 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-19 1 1 62,67 62,67 62,67 62,67 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-22 1 1 62,73 62,73 62,73 62,73 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-23 1 1 62,47 62,47 62,47 62,47 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-24 1 1 61,64 61,64 61,64 61,64 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-25 1 1 61,37 61,37 61,37 61,37 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-26 1 1 61,05 61,05 61,05 61,05 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-29 1 1 60,81 60,81 60,81 60,81 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-30 1 1 61,41 61,41 61,41 61,41 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-08-31 1 1 61,63 61,63 61,63 61,63 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-01 1 1 61,81 61,81 61,81 61,81 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-02 1 1 61,55 61,55 61,55 61,55 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-05 1 1 61,69 61,69 61,69 61,69 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-06 1 1 62,02 62,02 62,02 62,02 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-07 1 1 62,38 62,38 62,38 62,38 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-08 1 1 62,28 62,28 62,28 62,28 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-09 1 1 62,59 62,59 62,59 62,59 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-12 1 1 63 63 63 63 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-13 1 1 63,05 63,05 63,05 63,05 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-14 1 1 63,1 63,1 63,1 63,1 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-15 1 1 63,21 63,21 63,21 63,21 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-16 1 1 63,37 63,37 63,37 63,37 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-19 1 1 63,6 63,6 63,6 63,6 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-20 1 1 63,57 63,57 63,57 63,57 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-21 1 1 63,02 63,02 63,02 63,02 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-22 1 1 62,78 62,78 62,78 62,78 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-23 1 1 63,28 63,28 63,28 63,28 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-26 1 1 63,96 63,96 63,96 63,96 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-27 1 1 64,15 64,15 64,15 64,15 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-28 1 1 64,52 64,52 64,52 64,52 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-29 1 1 64,49 64,49 64,49 64,49 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-09-30 1 1 64,65 64,65 64,65 64,65 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-03 1 1 65,13 65,13 65,13 65,13 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-04 1 1 65,24 65,24 65,24 65,24 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-05 1 1 64,74 64,74 64,74 64,74 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-06 1 1 63,48 63,48 63,48 63,48 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-07 1 1 63,54 63,54 63,54 63,54 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-10 1 1 63,87 63,87 63,87 63,87 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-11 1 1 64 64 64 64 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-12 1 1 63,59 63,59 63,59 63,59 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-13 1 1 63,08 63,08 63,08 63,08 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-14 1 1 63,26 63,26 63,26 63,26 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-17 1 1 63,4 63,4 63,4 63,4 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-18 1 1 63,31 63,31 63,31 63,31 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-19 1 1 62,51 62,51 62,51 62,51 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-20 1 1 62,95 62,95 62,95 62,95 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-21 1 1 62,3 62,3 62,3 62,3 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-24 1 1 62,92 62,92 62,92 62,92 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-25 1 1 63,29 63,29 63,29 63,29 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-26 1 1 63,31 63,31 63,31 63,31 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-27 1 1 62,88 62,88 62,88 62,88 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-28 1 1 62,71 62,71 62,71 62,71 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-10-31 1 1 63,9 63,9 63,9 63,9 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-01 1 1 64,49 64,49 64,49 64,49 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-02 1 1 64,36 64,36 64,36 64,36 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-03 1 1 65,41 65,41 65,41 65,41 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-04 1 1 65,59 65,59 65,59 65,59 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-07 1 1 66,18 66,18 66,18 66,18 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-08 1 1 65,98 65,98 65,98 65,98 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-09 1 1 66 66 66 66 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-10 1 1 66,3 66,3 66,3 66,3 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-11 1 1 66,72 66,72 66,72 66,72 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-14 1 1 66,89 66,89 66,89 66,89 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-15 1 1 66,85 66,85 66,85 66,85 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-16 1 1 66,83 66,83 66,83 66,83 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-17 1 1 67,14 67,14 67,14 67,14 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-18 1 1 67,4 67,4 67,4 67,4 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-21 1 1 67,22 67,22 67,22 67,22 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-22 1 1 67,43 67,43 67,43 67,43 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-23 1 1 67,2 67,2 67,2 67,2 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-24 1 1 67,16 67,16 67,16 67,16 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-25 1 1 67,34 67,34 67,34 67,34 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-28 1 1 67,66 67,66 67,66 67,66 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-29 1 1 67,42 67,42 67,42 67,42 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-11-30 1 1 67,12 67,12 67,12 67,12 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-01 1 1 67,69 67,69 67,69 67,69 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-02 1 1 68,06 68,06 68,06 68,06 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-05 1 1 68,09 68,09 68,09 68,09 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-06 1 1 68,13 68,13 68,13 68,13 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-07 1 1 68,28 68,28 68,28 68,28 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-08 1 1 68,11 68,11 68,11 68,11 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-12 1 1 68,12 68,12 68,12 68,12 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-13 1 1 68,12 68,12 68,12 68,12 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-14 1 1 67,87 67,87 67,87 67,87 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-15 1 1 68,02 68,02 68,02 68,02 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-16 1 1 68,29 68,29 68,29 68,29 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-19 1 1 68,35 68,35 68,35 68,35 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-20 1 1 68,26 68,26 68,26 68,26 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-21 1 1 68,88 68,88 68,88 68,88 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-22 1 1 69,17 69,17 69,17 69,17 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-23 1 1 69,65 69,65 69,65 69,65 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-27 1 1 69,87 69,87 69,87 69,87 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-28 1 1 69,34 69,34 69,34 69,34 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-29 1 1 69,62 69,62 69,62 69,62 844522 Handelsbanken Fonder AB SPP Generation 80-tal SEK 2005-12-30 1 1 69,37 69,37 69,37 69,37 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-03 1 1 121,94 121,94 121,94 121,94 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-04 1 1 122,12 122,12 122,12 122,12 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-05 1 1 121,82 121,82 121,82 121,82 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-07 1 1 122,27 122,27 122,27 122,27 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-10 1 1 122,48 122,48 122,48 122,48 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-11 1 1 122,51 122,51 122,51 122,51 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-12 1 1 122,42 122,42 122,42 122,42 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-13 1 1 122,67 122,67 122,67 122,67 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-14 1 1 122,7 122,7 122,7 122,7 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-17 1 1 122,88 122,88 122,88 122,88 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-18 1 1 122,81 122,81 122,81 122,81 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-19 1 1 123,07 123,07 123,07 123,07 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-20 1 1 122,79 122,79 122,79 122,79 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-21 1 1 122,92 122,92 122,92 122,92 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-24 1 1 123,26 123,26 123,26 123,26 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-25 1 1 123,33 123,33 123,33 123,33 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-26 1 1 123,09 123,09 123,09 123,09 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-27 1 1 122,97 122,97 122,97 122,97 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-28 1 1 123,26 123,26 123,26 123,26 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-01-31 1 1 123,3 123,3 123,3 123,3 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-01 1 1 123,45 123,45 123,45 123,45 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-02 1 1 123,45 123,45 123,45 123,45 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-03 1 1 123,35 123,35 123,35 123,35 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-04 1 1 123,62 123,62 123,62 123,62 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-07 1 1 123,68 123,68 123,68 123,68 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-08 1 1 123,69 123,69 123,69 123,69 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-09 1 1 123,81 123,81 123,81 123,81 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-10 1 1 124 124 124 124 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-11 1 1 123,99 123,99 123,99 123,99 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-14 1 1 123,86 123,86 123,86 123,86 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-15 1 1 123,8 123,8 123,8 123,8 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-16 1 1 123,93 123,93 123,93 123,93 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-17 1 1 123,7 123,7 123,7 123,7 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-18 1 1 123,23 123,23 123,23 123,23 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-21 1 1 123,12 123,12 123,12 123,12 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-22 1 1 122,99 122,99 122,99 122,99 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-23 1 1 123,3 123,3 123,3 123,3 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-24 1 1 123,09 123,09 123,09 123,09 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-25 1 1 123,02 123,02 123,02 123,02 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-02-28 1 1 123,14 123,14 123,14 123,14 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-01 1 1 123,01 123,01 123,01 123,01 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-02 1 1 122,82 122,82 122,82 122,82 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-03 1 1 122,94 122,94 122,94 122,94 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-04 1 1 123,17 123,17 123,17 123,17 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-07 1 1 123,45 123,45 123,45 123,45 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-08 1 1 123,67 123,67 123,67 123,67 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-09 1 1 123,44 123,44 123,44 123,44 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-10 1 1 123,39 123,39 123,39 123,39 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-11 1 1 123,12 123,12 123,12 123,12 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-14 1 1 123,16 123,16 123,16 123,16 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-15 1 1 123,37 123,37 123,37 123,37 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-16 1 1 123,26 123,26 123,26 123,26 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-17 1 1 123,44 123,44 123,44 123,44 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-18 1 1 123,35 123,35 123,35 123,35 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-21 1 1 123,3 123,3 123,3 123,3 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-22 1 1 123,42 123,42 123,42 123,42 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-23 1 1 123,36 123,36 123,36 123,36 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-24 1 1 123,47 123,47 123,47 123,47 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-29 1 1 123,56 123,56 123,56 123,56 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-30 1 1 123,7 123,7 123,7 123,7 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-03-31 1 1 123,92 123,92 123,92 123,92 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-01 1 1 124,26 124,26 124,26 124,26 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-04 1 1 124,23 124,23 124,23 124,23 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-05 1 1 124,32 124,32 124,32 124,32 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-06 1 1 124,35 124,35 124,35 124,35 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-07 1 1 124,39 124,39 124,39 124,39 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-08 1 1 124,21 124,21 124,21 124,21 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-11 1 1 124,3 124,3 124,3 124,3 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-12 1 1 124,44 124,44 124,44 124,44 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-13 1 1 124,8 124,8 124,8 124,8 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-14 1 1 124,9 124,9 124,9 124,9 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-15 1 1 125,23 125,23 125,23 125,23 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-18 1 1 125,28 125,28 125,28 125,28 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-19 1 1 125,25 125,25 125,25 125,25 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-20 1 1 125,2 125,2 125,2 125,2 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-21 1 1 125,31 125,31 125,31 125,31 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-22 1 1 125,64 125,64 125,64 125,64 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-25 1 1 125,81 125,81 125,81 125,81 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-26 1 1 126,02 126,02 126,02 126,02 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-27 1 1 126,04 126,04 126,04 126,04 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-28 1 1 126,38 126,38 126,38 126,38 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-04-29 1 1 126,34 126,34 126,34 126,34 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-02 1 1 126,57 126,57 126,57 126,57 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-03 1 1 126,62 126,62 126,62 126,62 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-04 1 1 126,24 126,24 126,24 126,24 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-06 1 1 125,87 125,87 125,87 125,87 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-09 1 1 126,03 126,03 126,03 126,03 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-10 1 1 126,53 126,53 126,53 126,53 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-11 1 1 126,71 126,71 126,71 126,71 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-12 1 1 126,61 126,61 126,61 126,61 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-13 1 1 126,89 126,89 126,89 126,89 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-16 1 1 127,05 127,05 127,05 127,05 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-17 1 1 127,04 127,04 127,04 127,04 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-18 1 1 127,36 127,36 127,36 127,36 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-19 1 1 127,33 127,33 127,33 127,33 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-20 1 1 127,05 127,05 127,05 127,05 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-23 1 1 127,08 127,08 127,08 127,08 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-24 1 1 127,24 127,24 127,24 127,24 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-25 1 1 127,47 127,47 127,47 127,47 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-26 1 1 127,19 127,19 127,19 127,19 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-27 1 1 127,29 127,29 127,29 127,29 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-30 1 1 127,06 127,06 127,06 127,06 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-05-31 1 1 127,47 127,47 127,47 127,47 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-01 1 1 127,78 127,78 127,78 127,78 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-02 1 1 128,09 128,09 128,09 128,09 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-03 1 1 128,61 128,61 128,61 128,61 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-07 1 1 128,72 128,72 128,72 128,72 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-08 1 1 129,15 129,15 129,15 129,15 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-09 1 1 129,05 129,05 129,05 129,05 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-10 1 1 129,11 129,11 129,11 129,11 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-13 1 1 128,99 128,99 128,99 128,99 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-14 1 1 128,84 128,84 128,84 128,84 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-15 1 1 128,51 128,51 128,51 128,51 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-16 1 1 128,14 128,14 128,14 128,14 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-17 1 1 128,4 128,4 128,4 128,4 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-20 1 1 128,44 128,44 128,44 128,44 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-21 1 1 129,12 129,12 129,12 129,12 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-22 1 1 129,65 129,65 129,65 129,65 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-23 1 1 129,54 129,54 129,54 129,54 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-27 1 1 129,76 129,76 129,76 129,76 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-28 1 1 129,61 129,61 129,61 129,61 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-29 1 1 129,73 129,73 129,73 129,73 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-06-30 1 1 129,74 129,74 129,74 129,74 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-01 1 1 129,9 129,9 129,9 129,9 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-04 1 1 129,59 129,59 129,59 129,59 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-05 1 1 129,28 129,28 129,28 129,28 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-06 1 1 129,39 129,39 129,39 129,39 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-07 1 1 129,58 129,58 129,58 129,58 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-08 1 1 129,73 129,73 129,73 129,73 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-11 1 1 129,32 129,32 129,32 129,32 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-12 1 1 129,14 129,14 129,14 129,14 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-13 1 1 129,09 129,09 129,09 129,09 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-14 1 1 129,02 129,02 129,02 129,02 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-15 1 1 128,8 128,8 128,8 128,8 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-18 1 1 128,99 128,99 128,99 128,99 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-19 1 1 128,92 128,92 128,92 128,92 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-20 1 1 129 129 129 129 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-21 1 1 129,1 129,1 129,1 129,1 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-22 1 1 129,26 129,26 129,26 129,26 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-25 1 1 129,44 129,44 129,44 129,44 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-26 1 1 129,36 129,36 129,36 129,36 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-27 1 1 129,53 129,53 129,53 129,53 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-28 1 1 129,37 129,37 129,37 129,37 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-07-29 1 1 129,32 129,32 129,32 129,32 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-01 1 1 128,79 128,79 128,79 128,79 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-02 1 1 128,43 128,43 128,43 128,43 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-03 1 1 128,32 128,32 128,32 128,32 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-04 1 1 128,49 128,49 128,49 128,49 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-05 1 1 128,2 128,2 128,2 128,2 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-08 1 1 128,16 128,16 128,16 128,16 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-09 1 1 128,19 128,19 128,19 128,19 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-10 1 1 128,4 128,4 128,4 128,4 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-11 1 1 128,46 128,46 128,46 128,46 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-12 1 1 128,47 128,47 128,47 128,47 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-15 1 1 128,69 128,69 128,69 128,69 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-16 1 1 128,74 128,74 128,74 128,74 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-17 1 1 128,78 128,78 128,78 128,78 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-18 1 1 128,77 128,77 128,77 128,77 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-19 1 1 128,73 128,73 128,73 128,73 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-22 1 1 128,94 128,94 128,94 128,94 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-23 1 1 129,2 129,2 129,2 129,2 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-24 1 1 129,22 129,22 129,22 129,22 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-25 1 1 129,32 129,32 129,32 129,32 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-26 1 1 129,34 129,34 129,34 129,34 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-29 1 1 129,33 129,33 129,33 129,33 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-30 1 1 129,36 129,36 129,36 129,36 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-08-31 1 1 129,46 129,46 129,46 129,46 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-01 1 1 129,85 129,85 129,85 129,85 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-02 1 1 129,91 129,91 129,91 129,91 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-05 1 1 130,05 130,05 130,05 130,05 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-06 1 1 129,92 129,92 129,92 129,92 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-07 1 1 129,9 129,9 129,9 129,9 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-08 1 1 130,08 130,08 130,08 130,08 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-09 1 1 130,27 130,27 130,27 130,27 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-12 1 1 129,81 129,81 129,81 129,81 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-13 1 1 121,75 121,75 121,75 121,75 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-14 1 1 121,82 121,82 121,82 121,82 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-15 1 1 121,6 121,6 121,6 121,6 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-16 1 1 121,4 121,4 121,4 121,4 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-19 1 1 121,41 121,41 121,41 121,41 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-20 1 1 121,63 121,63 121,63 121,63 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-21 1 1 121,92 121,92 121,92 121,92 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-22 1 1 121,88 121,88 121,88 121,88 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-23 1 1 121,7 121,7 121,7 121,7 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-26 1 1 121,33 121,33 121,33 121,33 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-27 1 1 121,41 121,41 121,41 121,41 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-28 1 1 121,31 121,31 121,31 121,31 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-29 1 1 121,14 121,14 121,14 121,14 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-09-30 1 1 121,16 121,16 121,16 121,16 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-03 1 1 120,87 120,87 120,87 120,87 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-04 1 1 120,81 120,81 120,81 120,81 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-05 1 1 120,9 120,9 120,9 120,9 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-06 1 1 120,72 120,72 120,72 120,72 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-07 1 1 120,73 120,73 120,73 120,73 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-10 1 1 120,75 120,75 120,75 120,75 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-11 1 1 120,79 120,79 120,79 120,79 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-12 1 1 120,61 120,61 120,61 120,61 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-13 1 1 120,51 120,51 120,51 120,51 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-14 1 1 120,62 120,62 120,62 120,62 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-17 1 1 120,55 120,55 120,55 120,55 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-18 1 1 120,53 120,53 120,53 120,53 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-19 1 1 120,77 120,77 120,77 120,77 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-20 1 1 120,65 120,65 120,65 120,65 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-21 1 1 120,82 120,82 120,82 120,82 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-24 1 1 120,92 120,92 120,92 120,92 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-25 1 1 120,68 120,68 120,68 120,68 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-26 1 1 120,27 120,27 120,27 120,27 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-27 1 1 120,37 120,37 120,37 120,37 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-28 1 1 120,24 120,24 120,24 120,24 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-10-31 1 1 120,15 120,15 120,15 120,15 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-01 1 1 120,2 120,2 120,2 120,2 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-02 1 1 119,88 119,88 119,88 119,88 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-03 1 1 119,84 119,84 119,84 119,84 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-04 1 1 119,5 119,5 119,5 119,5 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-07 1 1 119,42 119,42 119,42 119,42 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-08 1 1 119,39 119,39 119,39 119,39 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-09 1 1 119,42 119,42 119,42 119,42 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-10 1 1 119,38 119,38 119,38 119,38 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-11 1 1 119,48 119,48 119,48 119,48 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-14 1 1 119,61 119,61 119,61 119,61 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-15 1 1 119,42 119,42 119,42 119,42 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-16 1 1 119,75 119,75 119,75 119,75 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-17 1 1 119,62 119,62 119,62 119,62 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-18 1 1 119,43 119,43 119,43 119,43 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-21 1 1 119,46 119,46 119,46 119,46 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-22 1 1 119,62 119,62 119,62 119,62 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-23 1 1 119,7 119,7 119,7 119,7 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-24 1 1 119,93 119,93 119,93 119,93 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-25 1 1 119,89 119,89 119,89 119,89 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-28 1 1 119,85 119,85 119,85 119,85 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-29 1 1 120,01 120,01 120,01 120,01 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-11-30 1 1 119,77 119,77 119,77 119,77 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-01 1 1 119,93 119,93 119,93 119,93 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-02 1 1 119,61 119,61 119,61 119,61 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-05 1 1 119,39 119,39 119,39 119,39 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-06 1 1 119,42 119,42 119,42 119,42 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-07 1 1 119,45 119,45 119,45 119,45 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-08 1 1 119,39 119,39 119,39 119,39 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-12 1 1 119,36 119,36 119,36 119,36 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-13 1 1 119,47 119,47 119,47 119,47 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-14 1 1 119,65 119,65 119,65 119,65 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-15 1 1 119,76 119,76 119,76 119,76 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-16 1 1 119,85 119,85 119,85 119,85 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-19 1 1 119,91 119,91 119,91 119,91 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-20 1 1 119,9 119,9 119,9 119,9 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-21 1 1 119,72 119,72 119,72 119,72 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-22 1 1 119,59 119,59 119,59 119,59 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-23 1 1 119,66 119,66 119,66 119,66 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-27 1 1 119,87 119,87 119,87 119,87 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-28 1 1 119,89 119,89 119,89 119,89 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-29 1 1 119,85 119,85 119,85 119,85 534800 Handelsbanken Fonder AB SPP Obligationsfond SEK 2005-12-30 1 1 119,94 119,94 119,94 119,94 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-03 1,0958 1,0942 913,3179 910,5821 1000,81375482 996,35893382 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-04 1,0963 1,0947 922,722 919,958 1011,5801286 1007,0780226 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-05 1,0923 1,0907 916,8332 914,0868 1001,45690436 996,99447276 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-07 1,0978 1,0962 920,9794 918,2206 1011,05118532 1006,55342172 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-10 1,1082 1,1066 920,5988 917,8412 1020,20759016 1015,68307192 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-11 1,1082 1,1066 908,3905 905,6695 1006,6783521 1002,2138687 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-12 1,1038 1,1022 901,6104 898,9096 995,19755952 990,77816112 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-13 1,1023 1,1007 904,0541 901,346 996,53883443 992,1115422 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-14 1,1073 1,1057 909,1016 906,3784 1006,64820168 1002,18259688 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-17 1,1058 1,1042 911,5553 908,8247 1007,99785074 1003,52423374 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-18 1,1083 1,1067 907,7195 905,0005 1006,02552185 1001,56405335 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-19 1,1083 1,1067 908,8212 906,0988 1007,24653596 1002,77954196 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-20 1,1073 1,1057 906,4977 903,7823 1003,76490321 999,31208911 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-21 1,1038 1,1022 904,4146 901,7054 998,29283548 993,85969188 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-24 1,1053 1,1037 903,8337 901,1263 999,00738861 994,57309731 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-25 1,1063 1,1047 912,2163 909,4837 1009,18489269 1004,70664339 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-26 1,1038 1,1022 917,9949 915,2451 1013,28277062 1008,78314922 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-27 1,0988 1,0972 917,5843 914,8357 1008,24162884 1003,75773004 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-28 1,1033 1,1017 915,391 912,649 1009,9508903 1005,4654033 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-01-31 1,1028 1,1012 924,2443 921,4757 1019,25661404 1014,72904084 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-01 1,0983 1,0967 929,4321 926,6479 1020,79527543 1016,25475193 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-02 1,0988 1,0972 932,3564 929,5636 1024,47321232 1019,91718192 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-03 1,0983 1,0967 933,5182 930,7218 1025,28303906 1020,72259806 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-04 1,0968 1,0952 944,084 941,256 1035,4713312 1030,8635712 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-07 1,0938 1,0922 955,0404 952,1796 1044,62318952 1039,97055912 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-08 1,0898 1,0882 957,6343 954,7657 1043,62986014 1038,97603474 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-09 1,0843 1,0827 959,2567 956,3833 1040,12203981 1035,47619891 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-10 1,0848 1,0832 960,2182 957,3418 1041,64470336 1036,99263776 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-11 1,0788 1,0772 964,6548 961,7652 1040,66959824 1036,01347344 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-14 1,0828 1,0812 963,2727 960,3873 1043,03167956 1038,37074876 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-15 1,0833 1,0817 965,5762 962,6838 1046,00869746 1041,33506646 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-16 1,0848 1,0832 955,9818 953,1182 1037,04905664 1032,41763424 754036 Storebrand Kapitalforvaltning AS Storebrand Europa NOK 2005-02-17 1,0863 1,0847 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1396,3723 1563,45372351 1556,53620281 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-01 1,1173 1,1157 1398,6649 1394,4751 1562,72829277 1555,81586907 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-04 1,1198 1,1182 1404,4435 1400,2365 1572,6958313 1565,7444543 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-05 1,1223 1,1207 1410,7429 1406,5171 1583,27675667 1576,28371397 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-06 1,1243 1,1227 1414,2081 1409,9719 1589,99416683 1582,97545213 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-07 1,1208 1,1192 1420,6177 1416,3623 1592,22831816 1585,19268616 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-08 1,1208 1,1192 1426,4365 1422,1636 1598,7500292 1591,68550112 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-11 1,1203 1,1187 1414,2883 1410,0517 1584,42718249 1577,42483679 789867 Storebrand 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1,1253 1,1237 1358,9454 1354,8746 1529,22125862 1522,47258802 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-22 1,1248 1,1232 1357,1026 1353,0374 1526,46900448 1519,73160768 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-25 1,1258 1,1242 1369,8116 1365,7084 1542,13389928 1535,32938328 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-26 1,1243 1,1227 1362,721 1358,639 1532,1072203 1525,3440053 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-27 1,1253 1,1237 1355,6604 1351,5996 1525,52464812 1518,79247052 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-28 1,1248 1,1232 1352,9564 1348,9036 1521,80535872 1515,08852352 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-04-29 1,1268 1,1252 1355,5002 1351,4398 1527,37762536 1520,64006296 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-02 1,1313 1,1297 1367,9689 1363,8711 1547,58321657 1540,76518167 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-03 1,1343 1,1327 1364,2733 1360,1867 1547,49520419 1540,68347509 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-04 1,1323 1,1307 1370,4626 1366,3574 1551,77480198 1544,94031218 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-06 1,1313 1,1297 1384,063 1379,917 1565,7904719 1558,8922349 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-09 1,1288 1,1272 1384,3935 1380,2465 1562,7033828 1555,8138548 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-10 1,1328 1,1312 1367,9489 1363,8512 1549,61251392 1542,78847744 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-11 1,1398 1,1382 1369,5412 1365,4388 1561,00305976 1554,14244216 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-12 1,1418 1,1402 1375,9809 1371,8591 1571,09499162 1564,19374582 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-13 1,1373 1,1357 1375,1296 1371,0104 1563,93489408 1557,05651128 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-18 1,1373 1,1357 1391,2137 1387,0463 1582,22734101 1575,26848291 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-19 1,1328 1,1312 1406,0659 1401,8541 1592,79145152 1585,77735792 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-20 1,1338 1,1322 1413,8877 1409,6523 1603,06587426 1596,00833406 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-23 1,1303 1,1287 1417,8336 1413,5864 1602,57731808 1595,51496968 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-24 1,1323 1,1307 1410,4926 1406,2674 1597,10077098 1590,06654918 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-25 1,1353 1,1337 1398,1741 1393,9859 1587,34705573 1580,36181483 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-26 1,1478 1,1462 1396,742 1392,558 1603,1804676 1596,1499796 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-27 1,1528 1,1512 1397,6634 1393,4766 1611,22636752 1604,17026192 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-30 1,1538 1,1522 1404,5937 1400,3863 1620,62021106 1613,52509486 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-05-31 1,1488 1,1472 1395,42 1391,24 1603,058496 1596,030528 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-01 1,1533 1,1517 1410,6328 1406,4072 1626,88280824 1619,75917224 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-02 1,1563 1,1547 1411,1836 1406,9564 1631,75159668 1624,61255508 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-03 1,1533 1,1517 1400,6779 1396,4821 1615,40182207 1608,32843457 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-07 1,1613 1,1597 1397,393 1393,2071 1622,7924909 1615,70227387 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-08 1,1593 1,1577 1401,2187 1397,0213 1624,43283891 1617,33155901 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-09 1,1618 1,1602 1405,1245 1400,9155 1632,4736441 1625,3421631 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-10 1,1648 1,1632 1404,2032 1399,9969 1635,61588736 1628,47639408 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-13 1,1778 1,1762 1414,0679 1409,8321 1665,48917262 1658,24451602 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-14 1,1823 1,1807 1422,5907 1418,3293 1681,92898461 1674,62140451 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-15 1,1798 1,1782 1418,9953 1414,7447 1674,13065494 1666,85220554 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-16 1,1773 1,1757 1424,4435 1420,1765 1676,99733255 1669,70151105 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-17 1,1798 1,1782 1426,2362 1421,9639 1682,67346876 1675,35786698 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-20 1,1728 1,1712 1422,7737 1418,5117 1668,62899536 1661,36090304 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-21 1,1803 1,1787 1424,5236 1420,2564 1681,36520508 1674,05621868 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-22 1,1773 1,1757 1427,2076 1422,9324 1680,25150748 1672,94162268 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-23 1,1853 1,1837 1442,4905 1438,1695 1709,78398965 1702,36123715 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-27 1,1838 1,1822 1415,9107 1411,6693 1676,15508666 1668,87544646 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-28 1,1833 1,1817 1432,6658 1428,3742 1695,27344114 1687,90979214 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-29 1,1888 1,1872 1423,5521 1419,2879 1692,31873648 1684,97859488 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-06-30 1,1933 1,1917 1413,9477 1409,7123 1687,26379041 1679,95414791 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-01 1,1983 1,1967 1420,6578 1416,4022 1702,37424174 1695,00851274 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-04 1,2048 1,2032 1426,5666 1422,2934 1718,72743968 1711,30341888 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-05 1,1983 1,1967 1433,8275 1429,5325 1718,15549325 1710,72154275 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-06 1,1918 1,1902 1432,3453 1428,0547 1707,06912854 1699,67070394 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-07 1,1883 1,1867 1416,2212 1411,9789 1682,89565196 1675,59536063 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-08 1,1943 1,1927 1427,2276 1422,9524 1704,53792268 1697,15532748 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-11 1,1998 1,1982 1429,1505 1424,8695 1714,6947699 1707,2786349 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-12 1,1983 1,1967 1424,9242 1420,6558 1707,48666886 1700,09879586 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-13 1,1908 1,1892 1434,829 1430,531 1708,5943732 1701,1874652 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-14 1,1838 1,1822 1449,8215 1445,4785 1716,2986917 1708,8446827 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-15 1,1823 1,1807 1459,3257 1454,9543 1725,36077511 1717,86454201 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-18 1,1808 1,1792 1463,1915 1458,8085 1727,7365232 1720,2269832 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-19 1,1768 1,1752 1479,3357 1474,9043 1740,88225176 1733,30753336 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-20 1,1768 1,1752 1471,8144 1467,4056 1732,03118592 1724,49506112 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-21 1,1863 1,1847 1468,7799 1464,3801 1742,41359537 1734,85110447 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-22 1,1868 1,1852 1473,2466 1468,8334 1748,44906488 1740,86134568 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-25 1,1863 1,1847 1466,6367 1462,2433 1739,87111721 1732,31963751 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-26 1,1913 1,1897 1467,8184 1463,4216 1748,61205992 1741,03267752 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-27 1,1978 1,1962 1481,4188 1476,9812 1774,44343864 1766,76491144 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-28 1,1928 1,1912 1480,5976 1476,1624 1766,05681728 1758,40465088 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-07-29 1,1883 1,1867 1463,9126 1459,5274 1739,56734258 1732,02116558 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-01 1,1963 1,1947 1454,859 1450,501 1740,4478217 1732,9135447 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-02 1,1983 1,1967 1459,6662 1455,2938 1749,11800746 1741,55009046 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-03 1,1933 1,1917 1453,1465 1448,7935 1734,03971845 1726,52721395 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-04 1,1933 1,1917 1443,3918 1439,0682 1722,39943494 1714,93757394 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-05 1,1873 1,1857 1442,19 1437,87 1712,312187 1704,882459 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-08 1,1783 1,1767 1442,5306 1438,2094 1699,73380598 1692,34100098 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-09 1,1818 1,1802 1450,823 1446,477 1714,5826214 1707,1321554 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-10 1,1843 1,1827 1451,9346 1447,5854 1719,52614678 1712,05925258 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-11 1,1828 1,1812 1448,5996 1444,2604 1713,40360688 1705,96038448 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-12 1,1793 1,1777 1445,3047 1440,9753 1704,44783271 1697,03661081 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-15 1,1768 1,1752 1465,6752 1461,2848 1724,80657536 1717,30189696 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-16 1,1653 1,1637 1463,6121 1459,2279 1705,54718013 1698,10350723 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-17 1,1773 1,1757 1457,9737 1453,6063 1716,47243701 1709,00492691 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-18 1,1773 1,1757 1466,4864 1462,0936 1726,49443872 1718,98344552 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-19 1,1748 1,1732 1481,9696 1477,5304 1741,01788608 1733,43866528 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-22 1,1728 1,1712 1479,9867 1475,5533 1735,72840176 1728,16802496 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-23 1,1708 1,1692 1476,5715 1472,1485 1728,7699122 1721,2360262 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-24 1,1743 1,1727 1465,545 1461,155 1720,9894935 1713,4964685 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-25 1,1768 1,1752 1456,5115 1452,1485 1714,0227332 1706,5649172 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-26 1,1773 1,1757 1449,501 1445,159 1706,4975273 1699,0734363 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-29 1,1798 1,1782 1446,9772 1442,6428 1707,14370056 1699,72174696 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-30 1,1793 1,1777 1454,2882 1449,9318 1715,04207426 1707,58468086 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-08-31 1,1848 1,1832 1446,2161 1441,8839 1713,47683528 1706,03703048 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-01 1,1888 1,1872 1434,9492 1430,6508 1705,86760896 1698,46862976 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-02 1,1948 1,1932 1421,2687 1417,0113 1698,13184276 1690,77788316 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-05 1,1903 1,1887 1431,8345 1427,5455 1704,31260535 1696,92333585 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-06 1,1898 1,1882 1443,4019 1439,0781 1717,35958062 1709,91259842 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-07 1,1938 1,1922 1447,7884 1443,4516 1728,36979192 1720,88299752 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-08 1,1988 1,1972 1445,7354 1441,4046 1733,14759752 1725,64958712 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-09 1,2008 1,1992 1452,7058 1448,3542 1744,40912464 1736,86635664 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-12 1,1953 1,1937 1472,195 1467,785 1759,7146835 1752,0949545 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-13 1,1938 1,1922 1463,9526 1459,5674 1747,66661388 1740,09625428 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-14 1,1953 1,1937 1457,1525 1452,7875 1741,73438325 1734,19243875 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-15 1,2003 1,1987 1461,8495 1457,4705 1754,65795485 1747,06988835 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-16 1,2008 1,1992 1469,6512 1465,2488 1764,75716096 1757,12636096 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-19 1,1973 1,1957 1470,4824 1466,0776 1760,60857752 1752,98898632 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-20 1,2018 1,2002 1462,0999 1457,7201 1757,15165982 1749,55566402 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-21 1,1988 1,1972 1452,1349 1447,7851 1740,81931812 1733,28832172 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-22 1,2018 1,2002 1456,171 1451,809 1750,0263078 1742,4611618 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-23 1,2043 1,2027 1461,7594 1457,3806 1760,39684542 1752,79164762 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-26 1,1993 1,1977 1480,4173 1475,9827 1775,46446789 1767,78447979 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-27 1,2003 1,1987 1479,2455 1474,8145 1775,53837365 1767,86014115 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-28 1,2013 1,1997 1485,6852 1481,2348 1784,75363076 1777,03738956 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-29 1,2023 1,2007 1495,7703 1491,2897 1798,36463169 1790,59154279 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-09-30 1,1918 1,1902 1500,918 1496,422 1788,7940724 1781,0414644 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-03 1,1798 1,1782 1518,1238 1513,5762 1791,08245924 1783,29547884 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-04 1,1838 1,1822 1523,8624 1519,2976 1803,94830912 1796,11362272 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-05 1,1788 1,1772 1499,4859 1494,9941 1767,59397892 1759,90705452 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-06 1,1798 1,1782 1468,87 1464,47 1732,972826 1725,438554 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-07 1,1828 1,1812 1473,7774 1469,3626 1743,18390872 1735,61110312 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-10 1,1808 1,1792 1473,3968 1468,9832 1739,78694144 1732,22498944 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-11 1,1898 1,1882 1467,0373 1462,6427 1745,48097954 1737,91205614 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-12 1,1918 1,1902 1453,2666 1448,9134 1732,00313388 1724,49672868 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-13 1,2023 1,2007 1451,9346 1447,5854 1745,66096958 1738,11578978 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-14 1,2028 1,2012 1443,8325 1439,5075 1736,641731 1729,136409 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-17 1,2118 1,2102 1451,2737 1446,9264 1758,65346966 1751,07032928 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-18 1,2118 1,2102 1449,1905 1444,8495 1756,1290479 1748,5568649 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-19 1,2103 1,2087 1436,7018 1432,3982 1738,84018854 1731,33970434 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-20 1,2173 1,2157 1422,7509 1418,4891 1731,91467057 1724,45719887 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-21 1,2183 1,2167 1419,9367 1415,6833 1729,90888161 1722,46187111 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-24 1,2243 1,2227 1444,834 1440,506 1768,9102662 1761,3066862 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-25 1,2203 1,2187 1440,5175 1436,2025 1757,86350525 1750,29998675 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-26 1,2148 1,2132 1432,7159 1428,4241 1740,46327532 1732,96411812 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-27 1,2228 1,2212 1404,2933 1400,0867 1717,16984724 1709,78587804 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-28 1,2188 1,2172 1412,1551 1407,9249 1721,13463588 1713,72618828 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-10-31 1,2233 1,2217 1436,4815 1432,1785 1757,24781895 1749,69247345 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-01 1,2273 1,2257 1436,5616 1432,2584 1763,09205168 1755,51912088 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-02 1,2338 1,2322 1445,5751 1441,2449 1783,55055838 1775,90196578 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-03 1,2398 1,2382 1463,4519 1459,0681 1814,38766562 1806,61812142 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-04 1,2308 1,2292 1480,197 1475,763 1821,8264676 1814,0078796 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-07 1,2348 1,2332 1483,552 1479,108 1831,8900096 1824,0359856 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-08 1,2298 1,2282 1478,4944 1474,0656 1818,25241312 1810,44736992 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-09 1,2278 1,2262 1474,5886 1470,1714 1810,49988308 1802,72417068 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-10 1,2428 1,2412 1478,3242 1473,8958 1837,26131576 1829,39946696 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-11 1,2453 1,2437 1490,9931 1486,5269 1856,73370743 1848,79350553 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-14 1,2323 1,2307 1496,4613 1491,9787 1844,08925999 1836,17818609 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-15 1,2293 1,2277 1495,1193 1490,6407 1837,95015549 1830,05958739 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-16 1,2298 1,2282 1498,8249 1494,3351 1843,25486202 1835,34236982 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-17 1,2318 1,2302 1517,0522 1512,5078 1868,70489996 1860,68709556 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-18 1,2233 1,2217 1533,2264 1528,6336 1875,59585512 1867,53166912 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-21 1,2168 1,2152 1542,0296 1537,4104 1876,34161728 1868,26111808 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-22 1,2143 1,2127 1542,5504 1537,9296 1873,11895072 1865,04722592 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-23 1,2093 1,2077 1540,7376 1536,1224 1863,21397968 1855,17502248 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-24 1,2083 1,2067 1542,31 1537,69 1863,573173 1855,530523 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-25 1,2028 1,2012 1548,9199 1544,2801 1863,04085572 1854,98925612 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-28 1,2068 1,2052 1543,0411 1538,4189 1862,14199948 1854,10245828 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-29 1,1968 1,1952 1549,1703 1544,5297 1854,04701504 1846,02189744 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-11-30 1,1983 1,1967 1539,5058 1534,8942 1844,78980014 1836,80788914 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-01 1,1963 1,1947 1568,2689 1563,5711 1876,12008507 1867,99839317 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-02 1,1993 1,1977 1576,341 1571,619 1890,5057613 1882,3280763 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-05 1,1908 1,1892 1555,2494 1550,5906 1851,99098552 1843,96234152 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-06 1,1948 1,1932 1574,7185 1570,0015 1881,4736638 1873,3257898 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-07 1,1833 1,1817 1573,1362 1568,4238 1861,49206546 1853,40640446 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-08 1,1848 1,1832 1559,0451 1554,3749 1847,15663448 1839,13638168 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-12 1,1888 1,1872 1556,972 1552,308 1850,9283136 1842,9000576 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-13 1,1853 1,1837 1568,8998 1564,2002 1859,61693294 1851,54377674 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-14 1,1888 1,1872 1564,7837 1560,0963 1860,21486256 1852,14632736 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-15 1,1868 1,1852 1567,7681 1563,0719 1860,62718108 1852,55281588 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-16 1,1943 1,1927 1569,4807 1564,7793 1874,43080001 1866,31227111 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-19 1,1818 1,1802 1570,9829 1566,2771 1856,58759122 1848,52023342 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-20 1,1728 1,1712 1589,07 1584,31 1863,661296 1855,543872 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-21 1,1728 1,1712 1599,0951 1594,305 1875,41873328 1867,250016 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-22 1,1778 1,1762 1599,2353 1594,4447 1883,57933634 1875,38585614 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-23 1,1738 1,1722 1600,0064 1595,2136 1878,08751232 1869,90938192 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-27 1,1833 1,1817 1586,1557 1581,4043 1876,89803981 1868,74546131 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-28 1,1763 1,1747 1586,7365 1581,9835 1866,47814495 1858,35601745 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-29 1,1718 1,1702 1590,1817 1585,4183 1863,37491606 1855,25649466 789867 Storebrand Kapitalforvaltning AS Storebrand Global NOK 2005-12-30 1,1768 1,1752 1580,1967 1575,4633 1859,57547656 1851,48447016 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-04 1,0963 1,0947 1258,0242 1254,2558 1379,17193046 1373,03382426 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-05 1,0923 1,0907 1254,9797 1251,2204 1370,81432631 1364,70609028 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-07 1,0978 1,0962 1254,0883 1250,3317 1376,73813574 1370,61360954 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-11 1,1082 1,1066 1257,2531 1253,4869 1393,28788542 1387,10860354 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-12 1,1038 1,1022 1257,7037 1253,9363 1388,25334406 1382,08858986 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-13 1,1023 1,1007 1256,532 1252,768 1385,0752236 1378,9217376 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-14 1,1073 1,1057 1271,0738 1267,2662 1407,46001874 1401,21623734 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-17 1,1058 1,1042 1285,5254 1281,6746 1421,53398732 1415,22509332 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-18 1,1083 1,1067 1270,593 1266,787 1408,1982219 1401,9531729 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-19 1,1083 1,1067 1269,902 1266,098 1407,4323866 1401,1906566 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-20 1,1073 1,1057 1263,3822 1259,5978 1398,94311006 1392,73728746 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-21 1,1038 1,1022 1257,3432 1253,5768 1387,85542416 1381,69234896 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-24 1,1053 1,1037 1265,195 1261,4051 1398,4200335 1392,21280887 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-25 1,1063 1,1047 1252,3257 1248,5743 1385,44792191 1379,30002921 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-26 1,1038 1,1022 1266,8274 1263,0326 1398,32408412 1392,11453172 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-27 1,0988 1,0972 1265,225 1261,435 1390,22923 1384,046482 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-28 1,1033 1,1017 1264,6942 1260,9058 1395,33711086 1389,13991986 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-01-31 1,1028 1,1012 1265,4754 1261,6846 1395,56627112 1389,36708152 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-01 1,0983 1,0967 1261,239 1257,461 1385,2187937 1379,0574787 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-02 1,0988 1,0972 1264,9947 1261,2054 1389,97617636 1383,79456488 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-03 1,0983 1,0967 1263,0718 1259,2882 1387,23175794 1381,06136894 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-04 1,0968 1,0952 1277,7437 1273,9163 1401,42929016 1395,19313176 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-07 1,0938 1,0922 1301,8398 1297,9402 1423,95237324 1417,61028644 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-08 1,0898 1,0882 1300,4277 1296,5323 1417,20610746 1410,88644886 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-09 1,0843 1,0827 1302,9114 1299,0086 1412,74683102 1406,43661122 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-10 1,0848 1,0832 1311,5344 1307,6056 1422,75251712 1416,39838592 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-14 1,0828 1,0812 1316,8323 1312,8877 1425,86601444 1419,49418124 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-15 1,0833 1,0817 1319,8769 1315,9232 1429,82264577 1423,43412544 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-16 1,0848 1,0832 1304,8343 1300,9257 1415,48424864 1409,16271824 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-17 1,0863 1,0847 1293,5875 1289,7125 1405,22410125 1398,95114875 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-18 1,0943 1,0927 1279,6666 1275,8334 1400,33916038 1394,10315618 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-21 1,0998 1,0982 1281,8299 1277,9901 1409,75652402 1403,48872782 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-22 1,1028 1,1012 1275,9611 1272,1389 1407,12990108 1400,87935668 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-23 1,1023 1,1007 1252,5059 1248,7541 1380,63725357 1374,50363787 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-24 1,1013 1,0997 1248,3798 1244,6402 1374,84067374 1368,73082794 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-25 1,1018 1,1002 1266,2465 1262,4535 1395,1503937 1388,9513407 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-02-28 1,0968 1,0952 1269,892 1266,088 1392,8175456 1386,6195776 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-01 1,1013 1,0997 1265,8259 1262,0341 1394,05406367 1387,85889977 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-02 1,1068 1,1052 1282,8113 1278,9687 1419,81554684 1413,51620724 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-03 1,1058 1,1042 1289,0307 1285,1694 1425,41014806 1419,08405148 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-04 1,1013 1,0997 1291,1038 1287,2362 1421,89261494 1415,57364914 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-07 1,1003 1,0987 1287,5785 1283,7215 1416,72262355 1410,42481205 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-08 1,1033 1,1017 1275,8209 1271,9991 1407,61319897 1401,36140847 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-09 1,1053 1,1037 1287,248 1283,392 1422,7952144 1416,4797504 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-10 1,1053 1,1037 1264,8244 1261,0356 1398,01040932 1391,80499172 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-11 1,1113 1,1097 1267,6286 1263,8314 1408,71566318 1402,47370458 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-14 1,1113 1,1097 1258,4348 1254,6652 1398,49859324 1392,30197244 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-03-15 1,1138 1,1122 1268,0793 1264,2807 1412,38672434 1406,13299454 825695 Storebrand Kapitalforvaltning AS Storebrand 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1425,19382886 1418,88803066 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-01 1,1173 1,1157 1277,6937 1273,8663 1427,56717101 1421,25263091 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-04 1,1198 1,1182 1274,7092 1270,8908 1427,41936216 1421,11009256 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-05 1,1223 1,1207 1277,4032 1273,5768 1433,62961136 1427,29751976 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-06 1,1243 1,1227 1280,4578 1276,6222 1439,61870454 1433,26374394 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-07 1,1208 1,1192 1279,266 1275,434 1433,8013328 1427,4657328 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-08 1,1208 1,1192 1287,0777 1283,2223 1442,55668616 1436,18239816 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-11 1,1203 1,1187 1275,0697 1271,2503 1428,46058491 1422,14771061 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-12 1,1173 1,1157 1257,5735 1253,8065 1405,08687155 1398,87191205 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-13 1,1183 1,1167 1266,1864 1262,3936 1415,97625112 1409,71493312 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-14 1,1153 1,1137 1263,0918 1259,3082 1408,72628454 1402,49154234 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-15 1,1178 1,1162 1245,4554 1241,7246 1392,17004612 1386,01299852 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-18 1,1148 1,1132 1191,4545 1187,8855 1328,2334766 1322,3541386 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-19 1,1213 1,1197 1205,4855 1201,8745 1351,71089115 1345,73887765 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-20 1,1218 1,1202 1207,168 1203,552 1354,2010624 1348,2189504 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-21 1,1253 1,1237 1195,2402 1191,6598 1345,00379706 1339,06811726 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-22 1,1248 1,1232 1212,6663 1209,0337 1364,00705424 1357,98665184 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-25 1,1258 1,1242 1223,132 1219,4681 1377,0020056 1370,92603802 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-26 1,1243 1,1227 1216,9627 1213,3173 1368,23116361 1362,19133271 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-27 1,1253 1,1237 1209,9322 1206,3078 1361,53670466 1355,52807486 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-04-28 1,1248 1,1232 1209,6017 1205,9783 1360,55999216 1354,55482656 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-02 1,1313 1,1297 1226,3368 1222,6633 1387,35482184 1381,24273001 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-06 1,1313 1,1297 1249,9121 1246,1679 1414,02555873 1407,79587663 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-09 1,1288 1,1272 1244,7243 1240,9957 1405,04478984 1398,85035304 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-10 1,1328 1,1312 1232,9366 1229,2434 1396,67058048 1390,52013408 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-11 1,1398 1,1382 1225,4955 1221,8245 1396,8197709 1390,6806459 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-12 1,1418 1,1402 1217,7739 1214,1261 1390,45423902 1384,34657922 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-13 1,1373 1,1357 1213,0068 1209,3732 1379,55263364 1373,48514324 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-18 1,1373 1,1357 1197,7339 1194,1461 1362,18276447 1356,19172577 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-19 1,1328 1,1312 1221,149 1217,491 1383,3175872 1377,2258192 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-20 1,1338 1,1322 1222,7714 1219,1086 1386,37821332 1380,27475692 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-23 1,1303 1,1287 1231,1339 1227,4461 1391,55064717 1385,41841307 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-24 1,1323 1,1307 1230,5531 1226,8669 1393,35527513 1387,21840383 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-25 1,1353 1,1337 1209,822 1206,198 1373,5109166 1367,4666726 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-26 1,1478 1,1462 1196,7725 1193,1875 1373,6554755 1367,6315125 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-27 1,1528 1,1512 1206,6973 1203,0827 1391,08064744 1384,98880424 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-30 1,1538 1,1522 1219,7669 1216,1131 1407,36704922 1401,20551382 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-05-31 1,1488 1,1472 1221,2591 1217,6009 1402,98245408 1396,83175248 825695 Storebrand Kapitalforvaltning AS 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1220,157 1441,4187294 1435,1486634 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-14 1,1823 1,1807 1233,3272 1229,6328 1458,16274856 1451,82744696 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-15 1,1798 1,1782 1237,1129 1233,4071 1459,54579942 1453,20024522 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-16 1,1773 1,1757 1238,8655 1235,1545 1458,51635315 1452,17114565 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-17 1,1798 1,1782 1242,8815 1239,1585 1466,3515937 1459,9765447 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-20 1,1728 1,1712 1237,4659 1233,7591 1451,30000752 1444,97865792 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-21 1,1803 1,1787 1246,507 1242,773 1471,2522121 1464,8565351 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-22 1,1773 1,1757 1250,3327 1246,5873 1472,01668771 1465,61268861 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-23 1,1853 1,1837 1272,3957 1268,5843 1508,17062321 1501,62323591 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-27 1,1838 1,1822 1240,0773 1236,3627 1468,00350774 1461,62798394 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-28 1,1833 1,1817 1246,1064 1242,3736 1474,51770312 1468,11288312 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-29 1,1888 1,1872 1239,5265 1235,8135 1473,5491032 1467,1577872 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-06-30 1,1933 1,1917 1232,1354 1228,4446 1470,30717282 1463,93742982 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-01 1,1983 1,1967 1235,9211 1232,2189 1481,00425413 1474,59635763 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-04 1,2048 1,2032 1245,2351 1241,5049 1500,25924848 1493,77869568 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-05 1,1983 1,1967 1251,6747 1247,9253 1499,88179301 1493,39220651 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-06 1,1918 1,1902 1252,5961 1248,8439 1492,84403198 1486,37400978 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-07 1,1883 1,1867 1234,8295 1231,1305 1467,34789485 1460,98256435 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-08 1,1943 1,1927 1223,7228 1220,0572 1461,49214004 1455,16222244 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-11 1,1998 1,1982 1226,9176 1223,2424 1472,05573648 1465,68904368 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-12 1,1983 1,1967 1228,2997 1224,6203 1471,87153051 1465,50311301 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-13 1,1908 1,1892 1222,3107 1218,6493 1455,52758156 1449,21774756 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-14 1,1838 1,1822 1234,1485 1230,4516 1460,9849943 1454,63988152 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-15 1,1823 1,1807 1243,9531 1240,2269 1470,72575013 1464,33590083 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-19 1,1768 1,1752 1245,6256 1241,8944 1465,85220608 1459,47429888 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-20 1,1768 1,1752 1233,1069 1229,4131 1451,12019992 1444,80627512 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-21 1,1863 1,1847 1253,8079 1250,0521 1487,39231177 1480,93672287 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-22 1,1868 1,1852 1238,8355 1235,1245 1470,2499714 1463,8695574 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-25 1,1863 1,1847 1225,2852 1221,6148 1453,55583276 1447,24705356 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-26 1,1913 1,1897 1219,6467 1215,9933 1452,96511371 1446,66722901 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-27 1,1978 1,1962 1231,7048 1228,0152 1475,33600944 1468,95178224 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-28 1,1928 1,1912 1226,7073 1223,0327 1463,21646744 1456,87655224 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-07-29 1,1883 1,1867 1218,2546 1214,6054 1447,65194118 1441,37222818 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-01 1,1963 1,1947 1212,7264 1209,0936 1450,78459232 1444,50412392 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-02 1,1983 1,1967 1216,7023 1213,0577 1457,97436609 1451,66614959 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-03 1,1933 1,1917 1218,6452 1214,9948 1454,20931716 1447,90930316 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-04 1,1933 1,1917 1211,5746 1207,9454 1445,77197018 1439,50853318 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-05 1,1873 1,1857 1199,156 1195,564 1423,7579188 1417,5802348 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-08 1,1783 1,1767 1201,2492 1197,6508 1415,43193236 1409,27569636 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-09 1,1818 1,1802 1211,9152 1208,2849 1432,24138336 1426,01783898 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-10 1,1843 1,1827 1244,4439 1240,7161 1473,79491077 1467,39493147 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-11 1,1828 1,1812 1252,1354 1248,3846 1481,02575112 1474,59188952 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-12 1,1793 1,1777 1260,528 1256,752 1486,5406704 1480,0768304 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-15 1,1768 1,1752 1285,3652 1281,5148 1512,61776736 1506,03619296 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-16 1,1653 1,1637 1291,7447 1287,8753 1505,27009891 1498,70048661 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-17 1,1773 1,1757 1286,4668 1282,6132 1514,55736364 1507,96833924 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-18 1,1773 1,1757 1294,3486 1290,4714 1523,83660678 1517,20722498 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-19 1,1748 1,1732 1298,8854 1294,9946 1525,93056792 1519,28766472 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-22 1,1728 1,1712 1314,8393 1310,9007 1542,04353104 1535,32689984 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-23 1,1708 1,1692 1318,1342 1314,1858 1543,27152136 1536,54603736 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-24 1,1743 1,1727 1317,5033 1313,5567 1547,14412519 1540,40794209 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-25 1,1768 1,1752 1300,5779 1296,6821 1530,52007272 1523,86080392 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-26 1,1773 1,1757 1306,0962 1302,1838 1537,66705626 1530,97749366 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-29 1,1798 1,1782 1278,5449 1274,7151 1508,42727302 1501,86933082 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-30 1,1793 1,1777 1294,0482 1290,1718 1526,07104226 1519,43532886 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-08-31 1,1848 1,1832 1271,6847 1267,8753 1506,69203256 1500,15005496 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-01 1,1888 1,1872 1259,0457 1255,2743 1496,75352816 1490,26164896 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-02 1,1948 1,1932 1257,5936 1253,8264 1502,57283328 1496,06566048 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-05 1,1903 1,1887 1277,3932 1273,5668 1520,48112596 1513,88885516 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-06 1,1898 1,1882 1271,4744 1267,6656 1512,80024112 1506,24026592 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-07 1,1938 1,1922 1272,8965 1269,0835 1519,5838417 1513,0013487 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-08 1,1988 1,1972 1270,3427 1266,5373 1522,88682876 1516,29845556 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-09 1,2008 1,1992 1288,8103 1284,9497 1547,60340824 1540,91168024 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-12 1,1953 1,1937 1319,5964 1315,6436 1577,31357692 1570,48376532 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-13 1,1938 1,1922 1311,7847 1307,8553 1566,00857486 1559,22508866 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-14 1,1953 1,1937 1314,6891 1310,7509 1571,44788123 1564,64334933 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-15 1,2003 1,1987 1327,2178 1323,2422 1593,05952534 1586,17042514 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-16 1,2008 1,1992 1318,0141 1314,0659 1582,67133128 1575,82782728 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-20 1,2018 1,2002 1326,3365 1322,3635 1593,9912057 1587,1006727 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-21 1,1988 1,1972 1333,9279 1329,9321 1599,11276652 1592,19471012 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-22 1,2018 1,2002 1326,2764 1322,3036 1593,91897752 1587,02878072 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-26 1,1993 1,1977 1356,2814 1352,2186 1626,58828302 1619,55221722 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-27 1,2003 1,1987 1343,2318 1339,2082 1612,28112954 1605,30886934 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-28 1,2013 1,1997 1365,7556 1361,6644 1640,68220228 1633,58878068 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-29 1,2023 1,2007 1382,5006 1378,3594 1662,18047138 1654,99613158 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-09-30 1,1918 1,1902 1382,9814 1378,8386 1648,23723252 1641,09370172 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-03 1,1798 1,1782 1388,4796 1384,3204 1638,12823208 1631,00629528 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-04 1,1838 1,1822 1416,6218 1412,3783 1676,99688684 1669,71362626 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-05 1,1788 1,1772 1408,6598 1404,4402 1660,52817224 1653,30700344 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-06 1,1798 1,1782 1360,4276 1356,3524 1605,03248248 1598,05439768 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-07 1,1828 1,1812 1351,2739 1347,2261 1598,28676892 1591,34346932 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-11 1,1898 1,1882 1367,1777 1363,0823 1626,66802746 1619,61438886 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-12 1,1918 1,1902 1360,728 1356,652 1621,7156304 1614,6872104 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-13 1,2023 1,2007 1359,1056 1355,0344 1634,05266288 1626,98980408 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-14 1,2028 1,2012 1338,024 1334,016 1609,3752672 1602,4200192 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-17 1,2118 1,2102 1331,0436 1327,0564 1612,95863448 1606,00365528 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-18 1,2118 1,2102 1328,8002 1324,8198 1610,24008236 1603,29692196 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-19 1,2103 1,2087 1308,8103 1304,8897 1584,05310609 1577,22018039 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-20 1,2173 1,2157 1307,4983 1303,5817 1591,61768059 1584,76427269 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-21 1,2183 1,2167 1305,946 1302,034 1591,0340118 1584,1847678 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-24 1,2243 1,2227 1309,6415 1305,7185 1603,39408845 1596,50200995 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-25 1,2203 1,2187 1318,615 1314,665 1609,1058845 1602,1822355 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-26 1,2148 1,2132 1308,0191 1304,1009 1588,98160268 1582,13521188 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-27 1,2228 1,2212 1307,7887 1303,8713 1599,16402236 1592,28763156 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-28 1,2188 1,2172 1299,7667 1295,8733 1584,15565396 1577,33698076 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-10-31 1,2233 1,2217 1306,8073 1302,8927 1598,61737009 1591,74401159 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-01 1,2273 1,2257 1319,7166 1315,7634 1619,68818318 1612,73119938 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-02 1,2338 1,2322 1311,2039 1307,2761 1617,76337182 1610,82561042 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-04 1,2308 1,2292 1345,9759 1341,9441 1656,62713772 1649,51768772 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-07 1,2348 1,2332 1361,1987 1357,1213 1680,80815476 1673,60198716 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-08 1,2298 1,2282 1363,6324 1359,5476 1676,99512552 1669,79636232 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-09 1,2278 1,2262 1362,9213 1358,8387 1673,39477214 1666,20801394 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-10 1,2428 1,2412 1372,2954 1368,1846 1705,48872312 1698,19072552 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-11 1,2453 1,2437 1386,3164 1382,1636 1726,37981292 1718,99686932 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-14 1,2323 1,2307 1383,2618 1379,1182 1704,59351614 1697,28076874 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-15 1,2293 1,2277 1375,4901 1371,3699 1690,88997993 1683,63082623 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-16 1,2298 1,2282 1389,8517 1385,6883 1709,23962066 1701,90237006 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-17 1,2318 1,2302 1411,3438 1407,1162 1738,49329284 1731,03434924 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-18 1,2233 1,2217 1429,8616 1425,5784 1749,14969528 1741,62913128 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-21 1,2168 1,2152 1444,8841 1440,5559 1758,13497288 1750,56352968 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-22 1,2143 1,2127 1430,9732 1426,6868 1737,63075676 1730,14308236 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-24 1,2083 1,2067 1426,807 1422,533 1724,0108981 1716,5705711 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-25 1,2028 1,2012 1426,0158 1421,7442 1715,21180424 1707,79913304 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-28 1,2068 1,2052 1458,0438 1453,6762 1759,56725784 1751,97055624 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-29 1,1968 1,1952 1464,8039 1460,4161 1753,07730752 1745,48932272 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-11-30 1,1983 1,1967 1448,189 1443,851 1735,3648787 1727,8564917 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-01 1,1963 1,1947 1460,6677 1456,2923 1747,39676951 1739,83241081 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-02 1,1993 1,1977 1470,893 1466,487 1764,0419749 1756,4114799 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-05 1,1908 1,1892 1454,5085 1450,1515 1732,0287218 1724,5201638 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-06 1,1948 1,1932 1451,8044 1447,4556 1734,61589712 1727,10402192 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-07 1,1833 1,1817 1456,7318 1452,3682 1723,75073894 1716,26350194 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-08 1,1848 1,1832 1421,7194 1417,4606 1684,45314512 1677,13938192 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-12 1,1888 1,1872 1445,5851 1441,2549 1718,51156688 1711,05781728 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-13 1,1853 1,1837 1462,9812 1458,5988 1734,07161636 1726,54339956 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-14 1,1888 1,1872 1471,6141 1467,2059 1749,45484208 1741,86684448 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-15 1,1868 1,1852 1476,9121 1472,488 1752,79928028 1745,1927776 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-16 1,1943 1,1927 1482,6707 1478,2293 1770,75361701 1763,08408611 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-19 1,1818 1,1802 1489,2305 1484,7695 1759,9726049 1752,3249639 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-20 1,1728 1,1712 1521,0882 1516,5318 1783,93224096 1776,16204416 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-21 1,1728 1,1712 1546,8668 1542,2332 1814,16538304 1806,26352384 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-22 1,1778 1,1762 1551,7241 1547,0759 1827,62064498 1819,67067358 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-27 1,1833 1,1817 1540,7877 1536,1723 1823,21408541 1815,29480691 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-28 1,1763 1,1747 1547,8683 1543,2317 1820,75748129 1812,83427799 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-29 1,1718 1,1702 1559,4957 1554,8243 1827,41706126 1819,45539586 825695 Storebrand Kapitalforvaltning AS Storebrand Japan NOK 2005-12-30 1,1768 1,1752 1551,3736 1546,7264 1825,65645248 1817,71286528 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-01-03 1,0958 1,0942 972,6167 969,7033 1065,79337986 1061,04935086 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-01-04 1,0963 1,0947 977,9347 975,0053 1072,10981161 1067,33830191 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-01-05 1,0923 1,0907 975,1806 972,2594 1065,18976938 1060,44332758 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-01-07 1,0978 1,0962 991,6953 988,7247 1088,68310034 1083,84001614 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-01-10 1,1082 1,1066 991,5751 988,6049 1098,86352582 1093,99018234 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-01-11 1,1082 1,1066 978,8361 975,9039 1084,74616602 1079,93525574 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-01-12 1,1038 1,1022 973,0173 970,1027 1074,01649574 1069,24719594 861526 Storebrand 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NOK 2005-02-03 1,0983 1,0967 1010,6938 1007,6662 1110,04500054 1105,10752154 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-04 1,0968 1,0952 1025,7263 1022,6537 1125,01660584 1120,01033224 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-07 1,0938 1,0922 1039,0262 1035,9138 1136,48685756 1131,42505236 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-08 1,0898 1,0882 1048,1599 1045,0201 1142,28465902 1137,19087282 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-09 1,0843 1,0827 1033,8284 1030,7316 1120,98013412 1115,97310332 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-10 1,0848 1,0832 1036,4924 1033,3876 1124,38695552 1119,36544832 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-11 1,0788 1,0772 1049,1113 1045,9687 1131,78127044 1126,71748364 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-14 1,0828 1,0812 1039,7573 1036,6427 1125,84920444 1120,81808724 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-15 1,0833 1,0817 1041,1193 1038,0007 1127,84453769 1122,80535719 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-16 1,0848 1,0832 1035,3607 1032,2593 1123,15928736 1118,14327376 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-17 1,0863 1,0847 1023,2125 1020,1475 1111,51573875 1106,55399325 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-18 1,0943 1,0927 1009,7924 1006,7676 1105,01582332 1100,09495652 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-22 1,1028 1,1012 981,0394 978,1006 1081,89025032 1077,08438072 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-23 1,1023 1,1007 984,3143 981,3657 1085,00965289 1080,18922599 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-02-24 1,1013 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Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-07-08 1,1943 1,1927 1061,6801 1058,4999 1267,96454343 1262,47283073 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-07-11 1,1998 1,1982 1060,0978 1056,9222 1271,90534044 1266,40418004 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-07-12 1,1983 1,1967 1052,6767 1049,5234 1261,42248961 1255,96465278 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-07-13 1,1908 1,1892 1062,4313 1059,2487 1265,14319204 1259,65855404 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-07-14 1,1838 1,1822 1067,8093 1064,6107 1264,07264934 1258,58276954 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-07-15 1,1823 1,1807 1077,7943 1074,5657 1274,27620089 1268,73972199 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-07-18 1,1808 1,1792 1075,8714 1072,6486 1270,38894912 1264,86722912 861526 Storebrand 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Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-07-28 1,1928 1,1912 1088,6005 1085,3395 1298,4826764 1292,8564124 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-07-29 1,1883 1,1867 1068,6105 1065,4095 1269,82985715 1264,32145365 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-01 1,1963 1,1947 1062,1208 1058,9392 1270,61511304 1265,11466224 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-02 1,1983 1,1967 1069,0712 1065,8688 1281,06801896 1275,52519296 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-03 1,1933 1,1917 1057,1433 1053,9767 1261,48909989 1256,02403339 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-04 1,1933 1,1917 1047,7693 1044,6307 1250,30310569 1244,88640519 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-05 1,1873 1,1857 1047,9596 1044,8204 1244,24243308 1238,84354828 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-08 1,1783 1,1767 1043,7032 1040,5768 1229,79548056 1224,44672056 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-09 1,1818 1,1802 1050,934 1047,786 1241,9938012 1236,5970372 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-10 1,1843 1,1827 1042,5014 1039,3786 1234,63440802 1229,27307022 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-11 1,1828 1,1812 1038,7057 1035,5943 1228,58110196 1223,24398716 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-12 1,1793 1,1777 1036,5425 1033,4375 1222,39457025 1217,07934375 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-15 1,1768 1,1752 1051,2545 1048,1055 1237,1162956 1231,7335836 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-16 1,1653 1,1637 1044,895 1041,765 1217,6161435 1212,3019305 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-17 1,1773 1,1757 1042,5214 1039,3986 1227,36044422 1222,02093402 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-18 1,1773 1,1757 1055,0101 1051,8499 1242,06339073 1236,65992743 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-19 1,1748 1,1732 1064,4843 1061,2957 1250,55615564 1245,11211524 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-22 1,1728 1,1712 1057,2134 1054,0466 1239,89987552 1234,49937792 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-23 1,1708 1,1692 1057,8344 1054,6656 1238,51251552 1233,11501952 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-24 1,1743 1,1727 1045,536 1042,404 1227,7729248 1222,4271708 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-25 1,1768 1,1752 1040,0277 1036,9123 1223,90459736 1218,57933496 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-26 1,1773 1,1757 1031,8254 1028,7346 1214,76804342 1209,48326922 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-29 1,1798 1,1782 1038,6256 1035,5144 1225,37048288 1220,04306608 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-30 1,1793 1,1777 1042,7518 1039,6282 1229,71719774 1224,37013114 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-08-31 1,1848 1,1832 1034,3392 1031,2408 1225,48508416 1220,16411456 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-01 1,1888 1,1872 1017,7772 1014,7284 1209,93353536 1204,68555648 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-02 1,1948 1,1932 1005,2656 1002,2544 1201,09133888 1195,88995008 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-06 1,1898 1,1882 1025,4659 1022,3941 1220,09932782 1214,80866962 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-07 1,1938 1,1922 1028,881 1025,799 1228,2781378 1222,9575678 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-08 1,1988 1,1972 1026,7678 1023,6922 1230,88923864 1225,56430184 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-09 1,2008 1,1992 1032,9972 1029,9028 1240,42303776 1235,05943776 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-12 1,1953 1,1937 1045,3256 1042,1944 1249,47768968 1244,06745528 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-13 1,1938 1,1922 1040,1879 1037,0721 1241,77631502 1236,39735762 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-14 1,1953 1,1937 1028,9211 1025,8389 1229,86939083 1224,54389493 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-15 1,2003 1,1987 1033,1774 1030,0826 1240,12283322 1234,76001262 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-16 1,2008 1,1992 1041,6802 1038,5598 1250,84958416 1245,44091216 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-19 1,1973 1,1957 1040,1879 1037,0721 1245,41697267 1240,02710997 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-20 1,2018 1,2002 1026,8079 1023,7321 1234,01773422 1228,68326642 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-21 1,1988 1,1972 1013,3177 1010,2823 1214,76525876 1209,50996956 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-22 1,2018 1,2002 1020,7689 1017,7111 1226,76006402 1221,45686222 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-23 1,2043 1,2027 1029,1514 1026,0686 1239,40703102 1234,05270522 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-26 1,1993 1,1977 1037,2836 1034,1764 1244,01422148 1238,63307428 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-27 1,2003 1,1987 1041,2395 1038,1205 1249,79977185 1244,39504335 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-28 1,2013 1,1997 1043,4829 1040,3571 1253,53600777 1248,11641287 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-29 1,2023 1,2007 1054,9501 1051,7899 1268,36650523 1262,88413293 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-09-30 1,1918 1,1902 1057,7543 1054,5857 1260,63157474 1255,16790014 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-03 1,1798 1,1782 1068,7908 1065,5892 1260,95938584 1255,47719544 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-04 1,1838 1,1822 1059,617 1056,443 1254,3746046 1248,9269146 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-05 1,1788 1,1772 1038,876 1035,764 1224,6270288 1219,3013808 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-06 1,1798 1,1782 1020,2881 1017,2319 1203,73590038 1198,50262458 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-07 1,1828 1,1812 1024,0538 1020,9862 1211,25083464 1205,98889944 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-10 1,1808 1,1792 1019,1164 1016,0636 1203,37264512 1198,14219712 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-11 1,1898 1,1882 1013,4579 1010,4221 1205,81220942 1200,58353922 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-12 1,1918 1,1902 1002,802 999,7981 1195,1394236 1189,95969862 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-13 1,2023 1,2007 1012,166 1009,134 1216,9271818 1211,6671938 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-14 1,2028 1,2012 1007,1485 1004,1315 1211,3982158 1206,1627578 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-17 1,2118 1,2102 1013,7584 1010,7216 1228,47242912 1223,17528032 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-18 1,2118 1,2102 1008,4805 1005,4595 1222,0766699 1216,8070869 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-19 1,2103 1,2087 1015,4709 1012,4291 1229,02443027 1223,72305317 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-20 1,2173 1,2157 998,3553 995,3647 1215,29790669 1210,06486579 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-21 1,2183 1,2167 1000,2682 997,2718 1218,62674806 1213,38059906 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-24 1,2243 1,2227 1022,1509 1019,0891 1251,41934687 1246,04024257 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-25 1,2203 1,2187 1012,4164 1009,3837 1235,45173292 1230,13591519 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-26 1,2148 1,2132 1005,8665 1002,8535 1221,9266242 1216,6618662 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-27 1,2228 1,2212 990,0929 987,1271 1210,68559812 1205,47961452 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-28 1,2188 1,2172 1005,5561 1002,5439 1225,57177468 1220,29643508 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-10-31 1,2233 1,2217 1018,8159 1015,7641 1246,31749047 1240,95900097 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-01 1,2273 1,2257 1018,9361 1015,8839 1250,54027553 1245,16889623 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-02 1,2338 1,2322 1029,9626 1026,8774 1270,76785588 1265,31833228 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-03 1,2398 1,2382 1040,8089 1037,6911 1290,39487422 1284,86912002 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-04 1,2308 1,2292 1058,0046 1054,8354 1302,19206168 1296,60367368 861526 Storebrand 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AS Storebrand Nord-Amerika NOK 2005-11-16 1,2298 1,2282 1083,633 1080,387 1332,6518634 1326,9313134 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-17 1,2318 1,2302 1095,3506 1092,0694 1349,25286908 1343,46377588 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-18 1,2233 1,2217 1100,4081 1097,1119 1346,12922873 1340,34160823 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-21 1,2168 1,2152 1105,8062 1102,4938 1345,54498416 1339,75046576 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-22 1,2143 1,2127 1110,7937 1107,4663 1348,83678991 1343,02438201 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-23 1,2093 1,2077 1109,4917 1106,1683 1341,70831281 1335,91945591 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-25 1,2028 1,2012 1116,332 1112,988 1342,7241296 1336,9211856 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-28 1,2068 1,2052 1103,3726 1100,0674 1331,55005368 1325,80123048 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-29 1,1968 1,1952 1110,1427 1106,8173 1328,61878336 1322,86803696 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-11-30 1,1983 1,1967 1101,4497 1098,1503 1319,86717551 1314,15646401 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-01 1,1963 1,1947 1127,028 1123,652 1348,2635964 1342,4270444 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-02 1,1993 1,1977 1126,1968 1122,8232 1350,64782224 1344,80534664 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-05 1,1908 1,1892 1110,5133 1107,1867 1322,39923764 1316,66642364 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-06 1,1948 1,1932 1124,0936 1120,7264 1343,06703328 1337,25074048 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-07 1,1833 1,1817 1119,8473 1116,4927 1325,11531009 1319,35942359 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-08 1,1848 1,1832 1108,6305 1105,3095 1313,5054164 1307,8022004 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-12 1,1888 1,1872 1098,956 1095,664 1306,4388928 1300,7723008 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-13 1,1853 1,1837 1110,1227 1106,7973 1315,82843631 1310,11596401 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-14 1,1888 1,1872 1107,4988 1104,1812 1316,59457344 1310,88392064 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-15 1,1868 1,1852 1113,3375 1110,0025 1321,308945 1315,574963 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-16 1,1943 1,1927 1111,2944 1107,9656 1327,21890192 1321,47057112 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-19 1,1818 1,1802 1112,0356 1108,7044 1314,20367208 1308,49293288 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-20 1,1728 1,1712 1129,1612 1125,7788 1324,28025536 1318,51213056 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-21 1,1728 1,1712 1139,4566 1136,0434 1336,35470048 1330,53403008 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-22 1,1778 1,1762 1138,6755 1135,2645 1341,1320039 1335,2981049 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-23 1,1738 1,1722 1140,6785 1137,2615 1338,9284233 1333,0979303 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-27 1,1833 1,1817 1127,1582 1123,7818 1333,76629806 1327,97295306 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-28 1,1763 1,1747 1126,9279 1123,5521 1325,60528877 1319,83665187 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-29 1,1718 1,1702 1126,7576 1123,3824 1320,33455568 1314,58208448 861526 Storebrand Kapitalforvaltning AS Storebrand Nord-Amerika NOK 2005-12-30 1,1768 1,1752 1120,9689 1117,6111 1319,15620152 1313,41656472 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-03 1,0958 1,0942 1416,3013 1412,0587 1551,98296454 1545,07462954 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-04 1,0963 1,0947 1423,0714 1418,8086 1560,11317582 1553,16977442 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-05 1,0923 1,0907 1423,5722 1419,3078 1554,96791406 1548,03901746 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-07 1,0978 1,0962 1438,6748 1434,3652 1579,37719544 1572,35113224 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-10 1,1082 1,1066 1440,6277 1436,3123 1596,50361714 1589,42319118 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-11 1,1082 1,1066 1425,2647 1420,9953 1579,47834054 1572,47339898 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-12 1,1038 1,1022 1414,2983 1410,0617 1561,10246354 1554,17000574 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-13 1,1023 1,1007 1423,8326 1419,5675 1569,49067498 1562,51794725 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-14 1,1073 1,1057 1431,7043 1427,4157 1585,32617139 1578,29353949 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-17 1,1058 1,1042 1439,7464 1435,4336 1592,07156912 1585,00578112 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-18 1,1083 1,1067 1435,46 1431,16 1590,920318 1583,864772 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-19 1,1083 1,1067 1443,9527 1439,6273 1600,33277741 1593,23553291 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-20 1,1073 1,1057 1438,0739 1433,7661 1592,37922947 1585,31517677 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-21 1,1038 1,1022 1446,4364 1442,1036 1596,57649832 1589,48658792 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-24 1,1053 1,1037 1448,5796 1444,2404 1601,11503188 1594,00812948 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-25 1,1063 1,1047 1464,193 1459,807 1619,8367159 1612,6487929 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-26 1,1038 1,1022 1484,0728 1479,6272 1638,11955664 1630,84509984 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-27 1,0988 1,0972 1490,4523 1485,9877 1637,70898724 1630,42570444 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-28 1,1033 1,1017 1485,4448 1480,9952 1638,89124784 1631,61241184 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-01-31 1,1028 1,1012 1480,2671 1475,8329 1632,43855788 1625,18718948 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-01 1,0983 1,0967 1488,0688 1483,6112 1634,34596304 1627,07640304 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-02 1,0988 1,0972 1498,3842 1493,8958 1646,42455896 1639,10247176 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-03 1,0983 1,0967 1510,7728 1506,2472 1659,28176624 1651,90130424 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-04 1,0968 1,0952 1523,3716 1518,8084 1670,83397088 1663,39895968 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-07 1,0938 1,0922 1535,5699 1530,9701 1679,60635662 1672,12554322 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-08 1,0898 1,0882 1538,0536 1533,4464 1676,17081328 1668,69637248 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-09 1,0843 1,0827 1545,3646 1540,7354 1675,63883578 1668,15421758 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-10 1,0848 1,0832 1546,8969 1542,2631 1678,07375712 1670,57938992 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-11 1,0788 1,0772 1558,5844 1553,9156 1681,40085072 1673,87788432 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-14 1,0828 1,0812 1551,9745 1547,3255 1680,4779886 1672,9683306 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-15 1,0833 1,0817 1554,0977 1549,4423 1683,55403841 1676,03173591 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-16 1,0848 1,0832 1544,323 1539,697 1675,2815904 1667,7997904 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-17 1,0863 1,0847 1559,8563 1555,1837 1694,47189869 1686,90775939 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-18 1,0943 1,0927 1544,964 1540,336 1690,6541052 1683,1251472 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-21 1,0998 1,0982 1541,0581 1536,4419 1694,85569838 1687,32049458 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-22 1,1028 1,1012 1538,955 1534,345 1697,159574 1689,620714 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-23 1,1023 1,1007 1522,921 1518,359 1678,7158183 1671,2577513 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-24 1,1013 1,0997 1542,8007 1538,1793 1699,08641091 1691,53577621 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-25 1,1018 1,1002 1556,982 1552,318 1715,4827676 1707,8602636 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-02-28 1,0968 1,0952 1555,0992 1550,4408 1705,63280256 1698,04276416 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-01 1,1013 1,0997 1550,973 1546,327 1708,0865649 1700,4958019 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-02 1,1068 1,1052 1553,2063 1548,5537 1719,08873284 1711,46154924 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-03 1,1058 1,1042 1562,1898 1557,5102 1727,46948084 1719,80276284 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-04 1,1013 1,0997 1587,017 1582,263 1747,7818221 1740,0146211 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-07 1,1003 1,0987 1589,8913 1585,1287 1749,35739739 1741,58090269 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-08 1,1033 1,1017 1587,6078 1582,8522 1751,60768574 1743,82826874 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-09 1,1053 1,1037 1590,5923 1585,8277 1758,08166919 1750,27803249 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-10 1,1053 1,1037 1566,1657 1561,4743 1731,08294821 1723,39918491 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-11 1,1113 1,1097 1571,3435 1566,6365 1746,23403155 1738,49652405 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-14 1,1113 1,1097 1567,5678 1562,8722 1742,03809614 1734,31928034 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-15 1,1138 1,1122 1580,9879 1576,2521 1760,90432302 1753,10758562 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-16 1,1128 1,1112 1566,1557 1561,4643 1742,81806296 1735,09913016 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-17 1,1193 1,1177 1566,6965 1562,0035 1753,60339245 1745,85131195 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-18 1,1193 1,1177 1561,1883 1556,5117 1747,43806419 1739,71312709 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-21 1,1218 1,1202 1566,1858 1561,4942 1756,94723044 1749,18580284 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-22 1,1183 1,1167 1567,6379 1562,9421 1753,08946357 1745,33744307 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-23 1,1158 1,1142 1553,8373 1549,1827 1733,77165934 1726,09936434 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-29 1,1103 1,1087 1564,5133 1559,8267 1737,07911699 1729,37986229 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-30 1,1168 1,1152 1548,0085 1543,3715 1728,8158928 1721,1678968 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-03-31 1,1163 1,1147 1559,686 1555,014 1741,0774818 1733,3741058 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-01 1,1173 1,1157 1564,7436 1560,0564 1748,28802428 1740,55492548 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-04 1,1198 1,1182 1561,1883 1556,5117 1748,21865834 1740,49138294 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-05 1,1223 1,1207 1571,7341 1567,0259 1763,95718043 1756,16592613 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-06 1,1243 1,1227 1588,5693 1583,8107 1786,02846399 1778,14427289 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-07 1,1208 1,1192 1592,2548 1587,4852 1784,59917984 1776,71343584 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-08 1,1208 1,1192 1605,9653 1601,1547 1799,96590824 1792,01234024 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-11 1,1203 1,1187 1596,1106 1591,3294 1788,12270518 1780,22019978 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-12 1,1173 1,1157 1613,9773 1609,1427 1803,29683729 1795,32051039 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-13 1,1183 1,1167 1650,9627 1646,0173 1846,27158741 1838,10751891 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-14 1,1153 1,1137 1634,8887 1629,9913 1823,39136711 1815,32131081 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-15 1,1178 1,1162 1605,8552 1601,0448 1795,02494256 1787,08620576 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-18 1,1148 1,1132 1568,5593 1563,8607 1748,62990764 1740,88973124 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-19 1,1213 1,1197 1576,5713 1571,8487 1767,80939869 1759,99898939 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-20 1,1218 1,1202 1574,7185 1570,0015 1766,5192133 1758,7156803 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-21 1,1253 1,1237 1571,3735 1566,6665 1768,26659955 1760,46314605 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-22 1,1248 1,1232 1578,1337 1573,4063 1775,08478576 1767,24995616 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-25 1,1258 1,1242 1576,9218 1572,1982 1775,29856244 1767,46521644 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-26 1,1243 1,1227 1566,0856 1561,3944 1760,75004008 1752,97749288 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-27 1,1253 1,1237 1537,4227 1532,8173 1730,06176431 1722,42680001 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-28 1,1248 1,1232 1522,4402 1517,8798 1712,44073696 1704,88259136 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-04-29 1,1268 1,1252 1528,8699 1524,2901 1722,73060332 1715,13122052 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-02 1,1313 1,1297 1544,0927 1539,4673 1746,83207151 1739,13620881 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-03 1,1343 1,1327 1543,4016 1538,7784 1750,68043488 1742,97429368 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-04 1,1323 1,1307 1540,5073 1535,8927 1744,31641579 1736,63387589 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-06 1,1313 1,1297 1569,8412 1565,1388 1775,96134956 1768,13730236 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-09 1,1288 1,1272 1565,5548 1560,8652 1767,19825824 1759,40725344 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-10 1,1328 1,1312 1565,3645 1560,6755 1773,2449056 1765,4361256 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-11 1,1398 1,1382 1568,6294 1563,9306 1787,92379012 1780,06580892 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-12 1,1418 1,1402 1568,329 1563,631 1790,7180522 1782,8520662 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-13 1,1373 1,1357 1558,0235 1553,3565 1771,94012655 1764,14697705 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-18 1,1373 1,1357 1579,055 1574,325 1795,8592515 1787,9609025 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-19 1,1328 1,1312 1590,2919 1585,5281 1801,48266432 1793,54938672 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-20 1,1338 1,1322 1595,71 1590,93 1809,215998 1801,250946 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-23 1,1303 1,1287 1606,4961 1601,6839 1815,82254183 1807,82061793 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-24 1,1323 1,1307 1604,3029 1599,4972 1816,55217367 1808,55148404 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-25 1,1353 1,1337 1595,1491 1590,3709 1810,97277323 1803,00348933 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-26 1,1478 1,1462 1604,4531 1599,6469 1841,59126818 1833,51527678 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-27 1,1528 1,1512 1609,8912 1605,0688 1855,88257536 1847,75520256 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-30 1,1538 1,1522 1615,8001 1610,9599 1864,31015538 1856,14799678 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-05-31 1,1488 1,1472 1613,8371 1609,0029 1853,97606048 1845,84812688 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-01 1,1533 1,1517 1627,5076 1622,6324 1877,00451508 1868,78573508 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-02 1,1563 1,1547 1629,6608 1624,7792 1884,37678304 1876,13254224 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-03 1,1533 1,1517 1630,7725 1625,8875 1880,76992425 1872,53463375 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-07 1,1613 1,1597 1628,4991 1623,6209 1891,17600483 1882,91315773 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-08 1,1593 1,1577 1643,6217 1638,6983 1905,45063681 1897,12102191 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-09 1,1618 1,1602 1642,3198 1637,4002 1908,04714364 1899,71171204 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-10 1,1648 1,1632 1639,3554 1634,4447 1909,52116992 1901,18607504 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-13 1,1778 1,1762 1643,9522 1639,0278 1936,24690116 1927,82449836 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-14 1,1823 1,1807 1654,5281 1649,5719 1956,14857263 1947,64954233 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-15 1,1798 1,1782 1649,3904 1644,4496 1945,95079392 1937,49051872 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-16 1,1773 1,1757 1659,6457 1654,6743 1953,90088261 1945,40057451 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-17 1,1798 1,1782 1671,7338 1666,7262 1972,31153724 1963,73680884 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-20 1,1728 1,1712 1665,917 1660,9268 1953,7874576 1945,27746816 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-21 1,1803 1,1787 1655,4394 1650,4806 1953,91512382 1945,42148322 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-22 1,1773 1,1757 1659,9462 1654,9738 1954,25466126 1945,75269666 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-23 1,1853 1,1837 1693,3362 1688,2638 2007,11139786 1998,39786006 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-27 1,1838 1,1822 1670,6723 1665,6677 1977,74186874 1969,15235494 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-28 1,1833 1,1817 1689,7108 1684,6492 1999,43478964 1990,74995964 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-29 1,1888 1,1872 1700,9576 1695,8624 2022,09839488 2013,32784128 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-06-30 1,1933 1,1917 1705,7548 1700,6452 2035,47720284 2026,65888484 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-01 1,1983 1,1967 1702,971 1697,869 2040,6701493 2031,8398323 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-04 1,2048 1,2032 1712,2946 1707,1654 2062,97253408 2054,06140928 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-05 1,1983 1,1967 1720,8775 1715,7226 2062,12750825 2053,20523542 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-06 1,1918 1,1902 1730,8524 1725,6676 2062,82989032 2053,88957752 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-07 1,1883 1,1867 1705,4844 1700,3756 2026,62711252 2017,83572452 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-08 1,1943 1,1927 1735,0687 1729,8713 2072,19254841 2063,21749951 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-11 1,1998 1,1982 1735,6596 1730,4604 2082,44438808 2073,43765128 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-12 1,1983 1,1967 1738,0632 1732,8568 2082,72113256 2073,70973256 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-13 1,1908 1,1892 1753,5664 1748,3136 2088,14686912 2079,09453312 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-14 1,1838 1,1822 1770,2113 1764,9087 2095,57613694 2086,47506514 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-15 1,1823 1,1807 1768,7391 1763,4409 2091,18023793 2082,09467063 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-18 1,1808 1,1792 1777,322 1771,998 2098,6618176 2089,5400416 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-19 1,1768 1,1752 1785,6044 1780,2556 2101,29925792 2092,15638112 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-20 1,1768 1,1752 1774,638 1769,322 2088,3939984 2079,3072144 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-21 1,1863 1,1847 1784,7732 1779,4269 2117,27644716 2108,08704843 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-22 1,1868 1,1852 1800,4366 1795,0434 2136,75815688 2127,48543768 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-25 1,1863 1,1847 1814,6379 1809,2021 2152,70494077 2143,36172787 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-26 1,1913 1,1897 1800,2964 1794,9036 2144,69310132 2135,39681292 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-27 1,1978 1,1962 1816,0901 1810,6499 2175,31272178 2165,89941038 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-28 1,1928 1,1912 1830,4516 1824,9684 2183,36266848 2173,90235808 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-07-29 1,1883 1,1867 1844,6228 1839,0972 2191,96527324 2182,45664724 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-01 1,1963 1,1947 1850,2813 1844,7387 2213,49151919 2203,90932489 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-02 1,1983 1,1967 1856,6107 1851,0493 2224,77660181 2215,15069731 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-03 1,1933 1,1917 1862,0088 1856,4312 2221,93510104 2212,30906104 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-04 1,1933 1,1917 1858,5336 1852,9664 2217,78814488 2208,18005888 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-05 1,1873 1,1857 1865,5341 1859,9459 2214,94863693 2205,33785363 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-08 1,1783 1,1767 1870,0409 1864,4391 2203,46919247 2193,88548897 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-09 1,1818 1,1802 1870,822 1865,218 2210,9374396 2201,3302836 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-10 1,1843 1,1827 1875,2286 1869,6114 2220,83323098 2211,18940278 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-11 1,1828 1,1812 1860,2562 1854,6838 2200,31103336 2190,75250456 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-12 1,1793 1,1777 1871,9037 1866,2964 2207,53603341 2197,93727028 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-15 1,1768 1,1752 1877,7424 1872,1176 2209,72725632 2200,11260352 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-16 1,1653 1,1637 1874,9382 1869,3218 2184,86548446 2175,32977866 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-17 1,1773 1,1757 1865,9547 1860,3653 2196,78846831 2187,23148321 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-18 1,1773 1,1757 1867,477 1861,883 2198,5806721 2189,0158431 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-19 1,1748 1,1732 1886,4755 1880,8245 2216,2314174 2206,5833034 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-22 1,1728 1,1712 1899,6352 1893,9448 2227,89216256 2218,18814976 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-23 1,1708 1,1692 1897,4018 1891,7182 2221,47802744 2211,79691944 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-24 1,1743 1,1727 1875,6893 1870,0707 2202,62194499 2193,03190989 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-25 1,1768 1,1752 1854,2272 1848,6728 2182,05456896 2172,56027456 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-26 1,1773 1,1757 1852,9953 1847,4447 2181,53136669 2172,04073379 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-29 1,1798 1,1782 1854,0068 1848,4532 2187,35722264 2177,84756024 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-30 1,1793 1,1777 1884,2722 1878,6278 2222,12220546 2212,45996006 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-08-31 1,1848 1,1832 1888,6688 1883,0112 2237,69479424 2227,97885184 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-01 1,1888 1,1872 1907,9176 1902,2024 2268,13244288 2258,29468928 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-02 1,1948 1,1932 1908,4985 1902,7815 2280,2740078 2270,3988858 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-05 1,1903 1,1887 1921,8985 1916,1415 2287,63578455 2277,71740105 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-06 1,1898 1,1882 1927,5069 1921,7331 2293,34770962 2283,40326942 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-07 1,1938 1,1922 1932,234 1926,446 2306,7009492 2296,7089212 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-08 1,1988 1,1972 1928,2681 1922,4919 2311,60779828 2301,60730268 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-09 1,2008 1,1992 1938,203 1932,3971 2327,3941624 2317,33060232 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-12 1,1953 1,1937 1951,6231 1945,777 2332,77509143 2322,6740049 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-13 1,1938 1,1922 1953,9565 1948,1035 2332,6332697 2322,5289927 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-14 1,1953 1,1937 1958,6235 1952,7565 2341,14266955 2331,00543405 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-15 1,2003 1,1987 1954,8779 1949,0221 2346,43994337 2336,29279127 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-16 1,2008 1,1992 1965,0932 1959,2068 2359,68391456 2349,48079456 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-19 1,1973 1,1957 1978,6535 1972,7265 2369,04183555 2358,78907605 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-20 1,2018 1,2002 1979,0642 1973,1359 2378,43935556 2368,15770718 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-21 1,1988 1,1972 1978,5734 1972,6466 2371,91379192 2361,65250952 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-22 1,2018 1,2002 1990,3811 1984,4189 2392,04000598 2381,69956378 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-23 1,2043 1,2027 1986,5954 1980,6446 2392,45684022 2382,12126042 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-26 1,1993 1,1977 2004,0215 1998,0185 2403,42298495 2393,02675745 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-27 1,2003 1,1987 2021,5077 2015,4523 2426,41569231 2415,92267201 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-28 1,2013 1,1997 2022,3089 2016,2511 2429,39968157 2418,89644467 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-29 1,2023 1,2007 2016,1197 2010,0804 2423,98071531 2413,50353628 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-09-30 1,1918 1,1902 2023,7311 2017,669 2411,88272498 2401,4296438 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-03 1,1798 1,1782 2044,7425 2038,6175 2412,3872015 2401,8991385 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-04 1,1838 1,1822 2061,7079 2055,5321 2440,64981202 2430,05004862 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-05 1,1788 1,1772 2042,2788 2036,1612 2407,43824944 2396,96896464 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-06 1,1798 1,1782 1990,0807 1984,1194 2347,89720986 2337,68947708 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-07 1,1828 1,1812 1991,623 1985,657 2355,6916844 2345,4580484 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-10 1,1808 1,1792 1976,2199 1970,3001 2333,52045792 2323,37787792 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-11 1,1898 1,1882 1971,593 1965,687 2345,8013514 2335,6292934 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-12 1,1918 1,1902 1960,0857 1954,2143 2336,03013726 2325,90585986 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-13 1,2023 1,2007 1901,7383 1896,0417 2286,45995809 2276,57726919 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-14 1,2028 1,2012 1856,801 1851,239 2233,3602428 2223,7082868 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-17 1,2118 1,2102 1877,0714 1871,4486 2274,63512252 2264,82709572 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-18 1,2118 1,2102 1848,739 1843,201 2240,3019202 2230,6418502 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-19 1,2103 1,2087 1781,1077 1775,7723 2155,67464931 2146,37597901 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-20 1,2173 1,2157 1793,2158 1787,8442 2182,88159334 2173,48219394 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-21 1,2183 1,2167 1772,3045 1766,9955 2159,19857235 2149,90342485 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-24 1,2243 1,2227 1842,4195 1836,9005 2255,67419385 2245,97824135 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-25 1,2203 1,2187 1850,5517 1845,0083 2258,22823951 2248,51161521 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-26 1,2148 1,2132 1861,2477 1855,6723 2261,04370596 2251,30163436 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-27 1,2228 1,2212 1823,2708 1817,8092 2229,49553424 2219,90859504 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-28 1,2188 1,2172 1817,3319 1811,8881 2214,96411972 2205,43019532 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-10-31 1,2233 1,2217 1849,0795 1843,5405 2261,97895235 2252,25342885 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-01 1,2273 1,2257 1837,3018 1831,7982 2254,92049914 2245,23505374 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-02 1,2338 1,2322 1848,8591 1843,3209 2281,12235758 2271,34001298 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-03 1,2398 1,2382 1863,0504 1857,4696 2309,80988592 2299,91885872 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-04 1,2308 1,2292 1868,5286 1862,9314 2299,78500088 2289,91527688 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-07 1,2348 1,2332 1876,9612 1871,3388 2317,67168976 2307,73500816 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-08 1,2298 1,2282 1880,2261 1874,5939 2312,30205778 2302,37622798 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-09 1,2278 1,2262 1864,7029 1859,1171 2289,48222062 2279,64938802 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-10 1,2428 1,2412 1862,3794 1856,8006 2314,56511832 2304,66090472 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-11 1,2453 1,2437 1875,6793 1870,0607 2335,78343229 2325,79449259 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-14 1,2323 1,2307 1882,4695 1876,8305 2319,76716485 2309,81529635 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-15 1,2293 1,2277 1866,2552 1860,6648 2294,18751736 2284,33817496 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-16 1,2298 1,2282 1855,0985 1849,5415 2281,4001353 2271,6068703 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-17 1,2318 1,2302 1872,2341 1866,6259 2306,21796438 2296,32318218 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-18 1,2233 1,2217 1874,9582 1869,3418 2293,63636606 2283,77487706 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-21 1,2168 1,2152 1888,0679 1882,4121 2297,40102072 2287,50718392 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-22 1,2143 1,2127 1895,4089 1889,7311 2301,59502727 2291,67690497 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-23 1,2093 1,2077 1911,2326 1905,5074 2311,25358318 2301,28128698 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-24 1,2083 1,2067 1893,3758 1887,7042 2287,76597914 2277,89265814 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-25 1,2028 1,2012 1905,2236 1899,5164 2291,60294608 2281,69909968 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-28 1,2068 1,2052 1897,9527 1892,2673 2290,44931836 2280,56054996 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-29 1,1968 1,1952 1906,0848 1900,3752 2281,20228864 2271,32843904 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-11-30 1,1983 1,1967 1908,158 1902,4421 2286,5457314 2276,65246107 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-01 1,1963 1,1947 1941,2075 1935,3926 2322,26653225 2312,21353922 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-02 1,1993 1,1977 1945,4638 1939,6362 2333,19473534 2323,10227674 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-05 1,1908 1,1892 1930,6316 1924,8484 2298,99610928 2289,02971728 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-06 1,1948 1,1932 1963,8614 1957,9786 2346,42160072 2336,26006552 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-07 1,1833 1,1817 1971,1122 1965,2078 2332,41706626 2322,28605726 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-08 1,1848 1,1832 1962,8699 1956,9901 2325,60825752 2315,51068632 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-12 1,1888 1,1872 1982,7697 1976,8303 2357,11661936 2346,89293216 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-13 1,1853 1,1837 1987,0962 1981,1438 2355,30512586 2345,07991606 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-14 1,1888 1,1872 1987,5669 1981,6131 2362,81953072 2352,57107232 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-15 1,1868 1,1852 1978,1928 1972,2672 2347,71921504 2337,53108544 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-16 1,1943 1,1927 1990,9419 1984,9781 2377,78191117 2367,48337987 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-19 1,1818 1,1802 1992,1137 1986,1463 2354,27997066 2344,04986326 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-20 1,1728 1,1712 2008,9189 2002,9011 2356,06008592 2345,79776832 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-21 1,1728 1,1712 2025,8542 2019,7858 2375,92180576 2365,57312896 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-22 1,1778 1,1762 2026,8958 2020,8242 2387,27787324 2376,89342404 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-23 1,1738 1,1722 2048,1276 2041,9924 2404,09217688 2393,62349128 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-27 1,1833 1,1817 2044,5623 2038,4378 2419,33056959 2408,82194826 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-28 1,1763 1,1747 2055,5487 2049,3913 2417,94193581 2407,41996011 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-29 1,1718 1,1702 2058,1927 2052,0273 2411,79020586 2401,28234646 897355 Storebrand Kapitalforvaltning AS Storebrand Norden NOK 2005-12-30 1,1768 1,1752 2050,3209 2044,1791 2412,81763512 2402,31927832 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-03 1,0958 1,0942 87245,332 86983,988 95603,4348056 95177,8796696 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-04 1,0963 1,0947 86698,9136 86439,2064 95048,01897968 94624,99924608 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-05 1,0923 1,0907 85415,4313 85159,5688 93299,27560899 92883,54169016 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-07 1,0978 1,0962 86420,8571 86161,9829 94872,81692438 94450,76565498 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-10 1,1082 1,1066 87200,7152 86939,5048 96635,83258464 96207,25601168 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-11 1,1082 1,1066 86642,7094 86383,1706 96017,45055708 95591,61658596 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-12 1,1038 1,1022 86412,3244 86153,4757 95381,92367272 94958,36091654 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-13 1,1023 1,1007 86909,3788 86649,0412 95800,20825124 95374,59964884 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-14 1,1073 1,1057 87561,3753 87299,0847 96956,71086969 96526,59795279 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-17 1,1058 1,1042 88841,0119 88574,8881 98240,39095902 97804,39144002 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-18 1,1083 1,1067 88815,4036 88549,3564 98434,11180988 97997,57272788 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-19 1,1083 1,1067 89138,838 88871,822 98792,5741554 98354,4454074 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-20 1,1073 1,1057 88110,5879 87846,6521 97564,85398167 97132,04322697 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-21 1,1038 1,1022 88658,9893 88393,4107 97861,79238934 97427,21727354 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-24 1,1053 1,1037 88222,4355 87958,1646 97512,25795815 97079,42626902 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-25 1,1063 1,1047 89307,0199 89039,5001 98800,35611537 98361,93576047 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-26 1,1038 1,1022 89350,3548 89082,7052 98624,92162824 98186,95767144 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-27 1,0988 1,0972 89302,8136 89035,3064 98125,93158368 97689,53818208 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-28 1,1033 1,1017 89197,5359 88930,3441 98411,64135847 97974,56009497 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-01-31 1,1028 1,1012 89109,5842 88842,6558 98270,04945576 97833,53256696 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-01 1,0983 1,0967 89665,8674 89397,2726 98480,02216542 98041,98886042 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-02 1,0988 1,0972 90436,6518 90165,7482 99371,79299784 98929,85892504 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-03 1,0983 1,0967 90718,4939 90446,7461 99636,12185037 99192,94644787 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-04 1,0968 1,0952 91752,4125 91477,5675 100634,04603 100186,231926 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-07 1,0938 1,0922 93109,5051 92830,5949 101843,17667838 101389,57574978 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-08 1,0898 1,0882 92062,3868 91786,6133 100329,58913464 99882,19259306 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-09 1,0843 1,0827 92364,8498 92088,1702 100151,20663814 99703,86187554 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-10 1,0848 1,0832 92352,6916 92076,0484 100184,19984768 99736,77562688 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-11 1,0788 1,0772 92978,4989 92699,9811 100305,20461332 99856,41964092 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-14 1,0828 1,0812 93258,4181 92979,0619 100980,21511868 100528,96172628 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-15 1,0833 1,0817 93595,6833 93315,3168 101392,20371889 100939,17818256 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-16 1,0848 1,0832 92873,4515 92595,2485 100749,1201872 100299,1731752 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-17 1,0863 1,0847 93526,6899 93246,5301 101598,04323837 101144,51119947 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-18 1,0943 1,0927 92774,4733 92496,5667 101523,10613219 101070,99843309 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-21 1,0998 1,0982 93106,4104 92827,5096 102398,43015792 101943,17104272 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-22 1,1028 1,1012 92475,7859 92198,7741 101982,29669052 101529,29003892 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-23 1,1023 1,1007 92528,4748 92251,3052 101994,13777204 101541,01163364 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-02-24 1,1013 1,0997 93621,9927 93341,5473 103105,90056051 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Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-08 1,1033 1,1017 96447,3744 96158,4656 106410,38817552 105937,78155152 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-09 1,1053 1,1037 96115,0867 95827,1733 106236,00532951 105764,45117121 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-10 1,1053 1,1037 95166,3858 94881,3142 105187,40622474 104720,50648254 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-11 1,1113 1,1097 95279,1146 94993,7054 105883,68005498 105414,51488238 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-14 1,1113 1,1097 95192,4849 94907,3351 105787,40846937 105318,66976047 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-15 1,1138 1,1122 95609,3993 95323,0007 106489,74894034 106018,24137854 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-16 1,1128 1,1112 94385,8067 94103,0733 105032,52569576 104567,33505096 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-17 1,1193 1,1177 95774,0559 95487,1641 107199,90076887 106726,00331457 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-18 1,1193 1,1177 95760,3454 95473,4946 107184,55460622 106710,72491442 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-21 1,1218 1,1202 95504,5723 95218,4877 107137,02920614 106663,74992154 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-22 1,1183 1,1167 95222,8804 94937,6396 106487,74715132 106016,86214132 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-23 1,1158 1,1142 94131,2053 93849,2347 105031,59887374 104566,81730274 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-29 1,1103 1,1087 93884,2855 93603,0545 104239,72219065 103777,70652415 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-03-30 1,1168 1,1152 93139,7704 92860,7696 104018,49558272 103558,33025792 933184 Storebrand Kapitalforvaltning 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2005-04-11 1,1203 1,1187 97029,7166 96739,0634 108702,39150698 108221,99022558 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-12 1,1173 1,1157 97315,6649 97024,1551 108730,79239277 108249,84984507 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-13 1,1183 1,1167 97435,5945 97143,7255 108962,22532935 108480,39826585 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-14 1,1153 1,1137 96930,2977 96639,9423 108106,36102481 107627,90373951 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-15 1,1178 1,1162 94710,4729 94426,7671 105867,36660762 105399,15743702 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-18 1,1148 1,1132 91414,2059 91140,3741 101908,55673732 101457,46444812 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-19 1,1213 1,1197 92006,9337 91731,3263 103167,37475781 102711,56605811 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-20 1,1218 1,1202 92145,2208 91869,1992 103368,50869344 102911,87694384 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-21 1,1253 1,1237 92332,3511 92055,7689 103901,59469283 103443,06751293 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-22 1,1248 1,1232 93240,8919 92961,5881 104877,35520912 104414,45575392 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-25 1,1258 1,1242 93423,0547 93143,2053 105175,67498126 104711,59139826 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-26 1,1243 1,1227 92471,4394 92194,4406 103965,63931742 103506,69846162 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-27 1,1253 1,1237 89510,9654 89242,8347 100726,68936462 100282,17335239 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-28 1,1248 1,1232 88364,0476 88099,3525 99391,88074048 98953,192728 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-04-29 1,1268 1,1252 88568,7742 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104792,02877362 104331,46182942 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-12 1,1418 1,1402 91687,2349 91412,5851 104688,48480882 104228,62953102 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-13 1,1373 1,1357 90530,0116 90258,8284 102959,78219268 102506,95141388 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-18 1,1373 1,1357 91200,5359 90927,3441 103722,36947907 103266,18469437 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-19 1,1328 1,1312 92318,6305 92042,0895 104578,5446304 104118,0116424 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-20 1,1338 1,1322 92864,6283 92586,4517 105289,91556654 104826,38061474 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-23 1,1303 1,1287 92798,5694 92520,5906 104890,22299282 104427,99061022 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-24 1,1323 1,1307 93412,1484 93132,3316 105770,57563332 105304,72734012 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-25 1,1353 1,1337 93368,9937 93089,3063 106001,81854761 105535,34655231 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-26 1,1478 1,1462 94545,3656 94262,1544 108519,17063568 108043,28137328 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-27 1,1528 1,1512 94702,4509 94418,7691 109172,98539752 108694,88698792 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-30 1,1538 1,1522 95268,1282 94982,7518 109920,36631716 109439,12662396 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-05-31 1,1488 1,1472 94895,9908 94611,7292 109016,51423104 108538,57573824 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-01 1,1533 1,1517 96157,8708 95869,8292 110898,87239364 110413,28228964 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-02 1,1563 1,1547 96427,785 96138,935 111499,4477955 111011,6282445 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-03 1,1533 1,1517 96351,5008 96062,8792 111122,18587264 110635,61797464 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-07 1,1613 1,1597 97040,6229 96749,9371 112693,27537377 112200,90205487 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-08 1,1593 1,1577 98225,8581 97931,6219 113873,23729533 113375,43867363 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-09 1,1618 1,1602 98089,7743 97795,9457 113960,69978174 113462,85620114 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-10 1,1648 1,1632 99201,5294 98904,3706 115549,94144512 115045,56388192 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-13 1,1778 1,1762 98918,165 98621,855 116505,814737 115999,025851 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-14 1,1823 1,1807 99698,3235 99399,6765 117873,32787405 117361,19804355 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-15 1,1798 1,1782 99649,6806 99351,1794 117566,69317188 117055,55956908 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-16 1,1773 1,1757 100168,6479 99868,5921 117928,54917267 117415,50373197 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-17 1,1798 1,1782 101064,2093 100761,4707 119235,55413214 118717,16477874 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-20 1,1728 1,1712 100979,3365 100676,8523 118428,5658472 117912,72941376 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-21 1,1803 1,1787 101320,0925 101016,5875 119588,10517775 119068,25168625 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-22 1,1773 1,1757 101609,6161 101305,2439 119625,00103453 119104,57525323 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-23 1,1853 1,1837 102389,0335 102082,3265 121361,72140755 120834,84987805 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-27 1,1838 1,1822 101797,7579 101492,8221 120508,18580202 119984,81428662 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-28 1,1833 1,1817 103291,0645 102981,6555 122224,31662285 121693,42230435 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-29 1,1888 1,1872 103268,9414 102959,5986 122766,11753632 122233,63545792 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-06-30 1,1933 1,1917 103848,3292 103537,2508 123922,21123436 123385,34177836 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-01 1,1983 1,1967 104278,4534 103966,0866 124956,87070922 124416,21583422 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-04 1,2048 1,2032 105560,133 105243,927 127178,8482384 126629,4929664 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-05 1,1983 1,1967 105735,8562 105419,1238 126703,27648446 126155,06545146 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-06 1,1918 1,1902 107706,8082 107384,1718 128364,97401276 127808,64127636 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-07 1,1883 1,1867 105316,7085 105001,2315 125147,84471055 124604,96142105 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-08 1,1943 1,1927 108000,2778 107676,7622 128984,73177654 128426,07427594 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-11 1,1998 1,1982 108600,7872 108275,4728 130299,22448256 129735,67150896 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-12 1,1983 1,1967 107737,5543 107414,8257 129101,91131769 128543,32191519 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-13 1,1908 1,1892 108191,344 107867,2561 128834,2524352 128275,74095412 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-14 1,1838 1,1822 108179,2358 107855,1842 128062,57934004 127506,39876124 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-15 1,1823 1,1807 106936,5045 106616,1755 126431,02927035 125881,71841285 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-18 1,1808 1,1792 107063,014 106742,306 126420,0069312 125870,5272352 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-19 1,1768 1,1752 107171,9872 106850,9528 126119,99453696 125571,23973056 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-20 1,1768 1,1752 106717,4464 106397,7736 125585,09092352 125038,66353472 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-21 1,1863 1,1847 106882,2633 106562,0967 126794,42895279 126244,11596049 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-22 1,1868 1,1852 107854,2591 107531,1809 128001,43469988 127445,95560268 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-25 1,1863 1,1847 109108,4876 108781,6524 129435,39883988 128873,62359828 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-26 1,1913 1,1897 109310,9909 108983,5491 130222,18345917 129657,72836427 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-27 1,1978 1,1962 109284,8518 108957,4882 130901,39548604 130334,94738484 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-28 1,1928 1,1912 109550,1391 109221,9809 130671,40591848 130105,22364808 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-07-29 1,1883 1,1867 110741,7338 110410,0062 131594,40227454 131023,55435754 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-01 1,1963 1,1947 110821,6134 110489,6466 132575,89611042 132001,98079302 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-02 1,1983 1,1967 112124,7953 111788,9247 134359,14220799 133777,80618849 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-03 1,1933 1,1917 112646,5467 112309,1133 134421,12417711 133838,77031961 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-04 1,1933 1,1917 112019,6979 111684,1421 133673,10550407 133093,99214057 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-05 1,1873 1,1857 111733,99 111399,29 132661,766327 132086,138153 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-08 1,1783 1,1767 112914,3078 112576,0722 133046,92888074 132468,26415774 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-09 1,1818 1,1802 113714,8168 113374,1833 134388,17049424 133804,21113066 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-10 1,1843 1,1827 113737,3906 113396,6894 134699,19168758 134114,26455338 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-11 1,1828 1,1812 114553,4929 114210,3471 135493,87140212 134905,26199452 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-12 1,1793 1,1777 115389,5952 115043,9448 136078,94961936 135487,25379096 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-15 1,1768 1,1752 115706,9104 115360,3096 136163,89215872 135571,43584192 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-16 1,1653 1,1637 114100,9551 113759,1649 132961,84297803 132381,54019413 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-17 1,1773 1,1757 113100,9473 112762,1527 133153,74525629 132574,46292939 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-18 1,1773 1,1757 112995,93 112657,45 133030,108389 132451,363965 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-19 1,1748 1,1732 114932,4805 114588,1995 135022,6780914 134434,8756534 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-22 1,1728 1,1712 116145,2069 115797,2931 136215,09865232 135621,78967872 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-23 1,1708 1,1692 116321,7613 115973,3187 136189,51813004 135596,00422404 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-24 1,1743 1,1727 115030,6275 114686,0525 135080,46587325 134492,33376675 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-25 1,1768 1,1752 115035,8854 114691,2946 135374,22993872 134785,20941392 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-26 1,1773 1,1757 115266 114920,72 135702,6618 135112,290504 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-29 1,1798 1,1782 115830,8961 115483,9239 136657,29121878 136063,15913898 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-30 1,1793 1,1777 116574,4197 116225,2203 137476,21315221 136878,44194731 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-08-31 1,1848 1,1832 117045,1948 116694,5852 138675,14679904 138073,03320864 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-01 1,1888 1,1872 118256,2487 117902,0113 140583,02845456 139973,26781536 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-02 1,1948 1,1932 117790,0905 117437,2495 140735,6001294 140126,1261034 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-05 1,1903 1,1887 117436,4408 117084,6592 139784,59548424 139178,53439104 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-06 1,1898 1,1882 118545,7723 118190,6677 141045,75988254 140434,15136114 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-07 1,1938 1,1922 118114,2761 117760,4639 141004,82280818 140394,02506158 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-08 1,1988 1,1972 117507,8878 117155,8922 140868,45589464 140259,03414184 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-09 1,2008 1,1992 117862,7493 117509,6907 141529,58935944 140917,62108744 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-12 1,1953 1,1937 118854,9154 118498,8847 142067,28037762 141452,11866639 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-13 1,1938 1,1922 117690,9921 117338,4479 140499,50636898 139890,89758638 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-14 1,1953 1,1937 118090,5605 117736,8195 141153,64696565 140542,44143715 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-15 1,2003 1,1987 119288,5949 118931,2651 143182,10045847 142562,90747537 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-16 1,2008 1,1992 119708,8143 119350,2257 143746,34421144 143124,79065944 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-19 1,1973 1,1957 120824,4152 120462,4848 144663,07231896 144036,99307536 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-20 1,2018 1,2002 121613,3268 121249,0332 146154,89614824 145523,08964664 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-21 1,1988 1,1972 121533,2969 121169,2431 145694,11632372 145063,81783932 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-22 1,2018 1,2002 121334,5092 120971,0508 145819,81315656 145189,45517016 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-23 1,2043 1,2027 120132,8093 119772,9507 144675,94223999 144050,92780689 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-26 1,1993 1,1977 119819,3098 119460,3902 143699,29824314 143077,70934254 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-27 1,2003 1,1987 119590,9878 119232,7522 143545,06265634 142924,30006214 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-28 1,2013 1,1997 120487,1601 120126,24 144741,22542813 144115,450128 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-29 1,2023 1,2007 121374,7294 121011,1506 145928,83715762 145298,08852542 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-09-30 1,1918 1,1902 121777,1221 121412,3379 145133,97411878 144504,96456858 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-03 1,1798 1,1782 122553,3146 122186,2054 144588,40056508 143959,78720228 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-04 1,1838 1,1822 122207,2263 121841,1537 144668,91449394 144040,61190414 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-05 1,1788 1,1772 120242,4035 119882,2165 141741,7452458 141125,3452638 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-06 1,1798 1,1782 114548,1749 114205,0451 135143,93674702 134556,38413682 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-07 1,1828 1,1812 114490,9192 114147,9608 135419,85922976 134831,57129696 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-10 1,1808 1,1792 114383,5383 114040,9017 135064,08202464 134477,03128464 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-11 1,1898 1,1882 114624,6194 114281,2606 136380,37216212 135788,99384492 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-12 1,1918 1,1902 114433,8938 114091,1063 136382,31463084 135791,23471826 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-13 1,2023 1,2007 109127,1956 108800,3044 131203,62726988 130636,52549308 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-14 1,2028 1,2012 107624,6151 107302,2249 129450,88704228 128891,43254988 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-17 1,2118 1,2102 108902,4991 108576,2809 131968,04840938 131399,01514518 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-18 1,2118 1,2102 105578,11 105261,85 127939,553698 127387,89087 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-19 1,2103 1,2087 101423,6176 101119,8024 122753,00438128 122223,50516088 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-20 1,2173 1,2157 104677,5011 104363,9389 127423,92208903 126875,24052073 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-21 1,2183 1,2167 103761,5692 103450,7508 126412,71975636 125868,52849836 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-24 1,2243 1,2227 106595,1432 106275,8368 130504,43381976 129943,46565536 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-25 1,2203 1,2187 107342,132 107020,588 130989,6036796 130425,9905956 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-26 1,2148 1,2132 109031,6125 108705,0075 132451,602865 131880,915099 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-27 1,2228 1,2212 107364,9562 107043,3438 131285,86844136 130721,33144856 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-28 1,2188 1,2172 106344,9185 106026,3615 129613,1866678 129055,2872178 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-10-31 1,2233 1,2217 109722,4071 109393,7329 134223,42060543 133646,32348393 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-01 1,2273 1,2257 108604,1723 108278,8477 133289,90066379 132717,38362589 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-02 1,2338 1,2322 109073,1847 108746,4553 134574,49528286 133997,38222066 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-03 1,2398 1,2382 112656,3314 112318,8686 139671,31966972 139073,22310052 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-04 1,2308 1,2292 112918,484 112580,236 138980,0701072 138383,6260912 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-07 1,2348 1,2332 112883,8522 112545,7078 139388,98069656 138791,36685896 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-08 1,2298 1,2282 111570,2748 111236,0652 137209,12394904 136620,13527864 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-09 1,2278 1,2262 111855,3718 111520,3082 137336,02549604 136746,20191484 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-10 1,2428 1,2412 111174,9527 110841,9273 138168,23121556 137577,00016476 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-11 1,2453 1,2437 110611,3385 110280,0015 137744,29983405 137155,23786555 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-14 1,2323 1,2307 111184,3868 110851,3332 137012,51985364 136424,73576924 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-15 1,2293 1,2277 110718,8195 110387,1605 136106,64481135 135522,31694585 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-16 1,2298 1,2282 109204,6216 108877,4984 134299,84364368 133723,34353488 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-17 1,2318 1,2302 111250,4658 110917,2142 137038,32377244 136450,35690884 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-18 1,2233 1,2217 111400,7809 111067,0791 136276,57527497 135690,65053647 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-21 1,2168 1,2152 111945,8473 111610,5127 136215,70699464 135629,09503304 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-22 1,2143 1,2127 113320,0755 112980,6245 137604,56767965 137011,60333115 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-23 1,2093 1,2077 113117,2217 112778,3783 136792,65620181 136202,44747291 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-24 1,2083 1,2067 112869,9413 112531,8387 136380,75007279 135792,16975929 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-25 1,2028 1,2012 114122,5074 113780,6526 137266,55190072 136673,31990312 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-28 1,2068 1,2052 113723,9304 113383,2696 137242,03920672 136649,51652192 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-29 1,1968 1,1952 113874,8665 113533,7535 136285,4402272 135695,5421832 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-11-30 1,1983 1,1967 114236,8586 113894,6614 136890,02766038 136297,74129738 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-01 1,1963 1,1947 115729,0536 115382,3864 138446,66682168 137847,33703208 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-02 1,1993 1,1977 117014,3587 116663,8414 140335,32038891 139728,28284478 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-05 1,1908 1,1892 117318,2738 116966,8462 139702,60044104 139096,97350104 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-06 1,1948 1,1932 117627,3167 117274,9633 140541,11799316 139932,48620956 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-07 1,1833 1,1817 118994,6847 118638,2353 140806,41040551 140194,80265401 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-08 1,1848 1,1832 118698,7515 118343,1885 140634,2807772 140023,6606332 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-12 1,1888 1,1872 119967,0611 119607,6989 142616,84223568 141998,26013408 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-13 1,1853 1,1837 120828,8819 120466,9381 143218,47371607 142596,71462897 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-14 1,1888 1,1872 120745,4569 120383,7631 143542,19916272 142919,60355232 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-15 1,1868 1,1852 119929,6851 119570,4349 142332,55027668 141714,87944348 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-16 1,1943 1,1927 118973,0924 118616,7077 142089,56425332 141474,14727379 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-19 1,1818 1,1802 117605,0333 117252,7467 138985,62835394 138381,69165534 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-20 1,1728 1,1712 119036,3872 118679,8129 139605,87490816 138997,79686848 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-21 1,1728 1,1712 120123,6055 119763,7745 140880,9645304 140267,3326944 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-22 1,1778 1,1762 121437,894 121074,126 143029,5515532 142407,3870012 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-23 1,1738 1,1722 121965,8548 121600,5052 143163,52036424 142540,11219544 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-27 1,1833 1,1817 121999,7555 121634,3045 144362,31068315 143735,25762765 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-28 1,1763 1,1747 122422,8993 122056,1807 144006,05644659 143379,39546829 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-29 1,1718 1,1702 122702,2076 122334,6524 143782,44686568 143156,01023848 933184 Storebrand Kapitalforvaltning AS Storebrand Norge NOK 2005-12-30 1,1768 1,1752 122994,6256 122626,1944 144740,07540608 144110,30365888 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-03 9,0065 9,0015 152,06 152,06 1369,52839 1368,76809 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-04 9,0345 9,0295 152,11 152,11 1374,237795 1373,477245 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-05 9,0615 9,0565 152,2 152,2 1379,1603 1378,3993 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-07 9,0615 9,0565 153,19 153,19 1388,131185 1387,365235 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-10 9,08619 9,08119 153,11 153,11 1391,1865509 1390,4210009 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-11 9,08619 9,08119 152,11 152,11 1382,1003609 1381,3398109 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-12 9,0455 9,0405 151,01 151,01 1365,960955 1365,205905 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-13 9,0505 9,0455 151 151 1366,6255 1365,8705 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-14 9,0455 9,0405 152,02 152,02 1375,09691 1374,33681 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-17 9,0685 9,0635 152,49 152,49 1382,855565 1382,093115 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-18 9,0585 9,0535 153,25 153,25 1388,215125 1387,448875 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-19 9,0225 9,0175 152,09 152,09 1372,232025 1371,471575 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-20 9,0315 9,0265 151,59 151,59 1369,085085 1368,327135 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-21 9,0505 9,0455 150,63 150,63 1363,276815 1362,523665 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-24 9,0655 9,0605 149,9 149,9 1358,91845 1358,16895 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-25 9,0715 9,0665 150,77 150,77 1367,710055 1366,956205 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-26 9,0885 9,0835 150,84 150,84 1370,90934 1370,15514 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-27 9,0675 9,0625 151,47 151,47 1373,454225 1372,696875 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-28 9,0955 9,0905 151,15 151,15 1374,784825 1374,029075 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-01-31 9,1075 9,1025 152,08 152,08 1385,0686 1384,3082 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-01 9,1035 9,0985 153,33 153,33 1395,839655 1395,073005 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-02 9,0905 9,0855 153,27 153,27 1393,300935 1392,534585 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-03 9,0695 9,0645 153,14 153,14 1388,90323 1388,13753 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-04 9,0895 9,0845 155,1 155,1 1409,78145 1409,00595 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-07 9,0755 9,0705 156,33 156,33 1418,772915 1417,991265 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-08 9,0895 9,0845 157,06 157,06 1427,59687 1426,81157 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-09 9,0695 9,0645 156,31 156,31 1417,653545 1416,871995 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-10 9,0805 9,0755 155,76 155,76 1414,37868 1413,59988 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-11 9,0935 9,0885 157,09 157,09 1428,497915 1427,712465 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-14 9,1105 9,1055 157,05 157,05 1430,804025 1430,018775 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-15 9,0765 9,0715 157,36 157,36 1428,27804 1427,49124 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-16 9,0705 9,0655 156,41 156,41 1418,716905 1417,934855 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-17 9,0925 9,0875 155,01 155,01 1409,428425 1408,653375 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-18 9,0945 9,0895 154,98 154,98 1409,46561 1408,69071 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-21 9,1185 9,1135 155,16 155,16 1414,82646 1414,05066 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-22 9,0975 9,0925 153,22 153,22 1393,91895 1393,15285 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-23 9,1045 9,0995 152,84 152,84 1391,53178 1390,76758 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-24 9,0715 9,0665 153,1 153,1 1388,84665 1388,08115 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-25 9,0845 9,0795 154,84 154,84 1406,64398 1405,86978 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-02-28 9,0505 9,0455 154,12 154,12 1394,86306 1394,09246 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-01 9,0565 9,0515 156,01 156,01 1412,904565 1412,124515 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-02 9,0645 9,0595 156,95 156,95 1422,673275 1421,888525 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-03 9,0675 9,0625 156,27 156,27 1416,978225 1416,196875 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-04 9,0415 9,0365 156,53 156,53 1415,265995 1414,483345 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-07 9,0425 9,0375 157,32 157,32 1422,5661 1421,7795 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-08 9,0345 9,0295 155,88 155,88 1408,29786 1407,51846 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-09 9,0365 9,0315 155,25 155,25 1402,916625 1402,140375 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-10 9,0655 9,0605 154,66 154,66 1402,07023 1401,29693 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-11 9,0795 9,0745 154,03 154,03 1398,515385 1397,745235 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-14 9,0695 9,0645 154,81 154,81 1404,049295 1403,275245 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-15 9,1035 9,0985 155,11 155,11 1412,043885 1411,268335 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-16 9,0975 9,0925 153,33 153,33 1394,919675 1394,153025 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-17 9,1045 9,0995 153,15 153,15 1394,354175 1393,588425 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-18 9,1035 9,0985 153,99 153,99 1401,847965 1401,078015 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-21 9,1265 9,1215 154,5 154,5 1410,04425 1409,27175 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-22 9,1265 9,1215 153,76 153,76 1403,29064 1402,52184 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-23 9,1165 9,1115 154,39 154,39 1407,496435 1406,724485 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-24 9,1135 9,1085 154,87 154,87 1411,407745 1410,633395 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-29 9,1315 9,1265 154,54 154,54 1411,18201 1410,40931 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-30 9,1425 9,1375 154,98 154,98 1416,90465 1416,12975 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-03-31 9,1405 9,1355 154,64 154,64 1413,48692 1412,71372 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-01 9,1645 9,1595 154,4 154,4 1414,9988 1414,2268 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-04 9,1695 9,1645 154,64 154,64 1417,97148 1417,19828 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-05 9,1745 9,1695 155,54 155,54 1427,00173 1426,22403 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-06 9,1705 9,1655 155,94 155,94 1430,04777 1429,26807 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-07 9,1505 9,1455 156,33 156,33 1430,497665 1429,716015 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-08 9,1625 9,1575 156,52 156,52 1434,1145 1433,3319 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-11 9,1705 9,1655 155,16 155,16 1422,89478 1422,11898 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-12 9,1525 9,1475 155,54 155,54 1423,57985 1422,80215 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-13 9,1495 9,1445 154,95 154,95 1417,715025 1416,940275 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-14 9,1685 9,1635 154,38 154,38 1415,43303 1414,66113 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-15 9,1925 9,1875 151,05 151,05 1388,527125 1387,771875 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-18 9,1805 9,1755 148,79 148,79 1365,966595 1365,222645 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-19 9,2035 9,1985 149,5 149,5 1375,92325 1375,17575 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-20 9,1915 9,1865 148,48 148,48 1364,75392 1364,01152 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-21 9,1855 9,1805 148,99 148,99 1368,547645 1367,802695 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-22 9,1625 9,1575 149,43 149,43 1369,152375 1368,405225 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-25 9,1685 9,1635 150,92 150,92 1383,71002 1382,95542 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-26 9,1375 9,1325 150,13 150,13 1371,812875 1371,062225 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-27 9,1465 9,1415 149,64 149,64 1368,68226 1367,93406 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-28 9,1505 9,1455 148,69 148,69 1360,587845 1359,844395 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-04-29 9,1705 9,1655 149,72 149,72 1373,00726 1372,25866 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-02 9,1935 9,1885 150,86 150,86 1386,93141 1386,17711 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-03 9,2245 9,2195 150,92 150,92 1392,16154 1391,40694 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-04 9,1915 9,1865 151,8 151,8 1395,2697 1394,5107 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-06 9,1715 9,1665 153,05 153,05 1403,698075 1402,932825 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-09 9,1815 9,1765 153,39 153,39 1408,350285 1407,583335 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-10 9,1985 9,1935 151,68 151,68 1395,22848 1394,47008 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-11 9,2105 9,2055 151,96 151,96 1399,62758 1398,86778 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-12 9,2315 9,2265 152,28 152,28 1405,77282 1405,01142 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-13 9,2045 9,1995 152,49 152,49 1403,594205 1402,831755 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-17 9,2325 9,2275 153,03 153,03 1412,849475 1412,084325 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-18 9,2095 9,2045 154,47 154,47 1422,591465 1421,819115 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-19 9,1905 9,1855 155,8 155,8 1431,8799 1431,1009 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-20 9,1955 9,1905 156,38 156,38 1437,99229 1437,21039 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-23 9,1805 9,1755 156,92 156,92 1440,60406 1439,81946 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-24 9,1815 9,1765 156,7 156,7 1438,74105 1437,95755 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-25 9,1785 9,1735 155,87 155,87 1430,652795 1429,873445 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-26 9,1945 9,1895 157,39 157,39 1447,122355 1446,335405 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-27 9,1955 9,1905 157,55 157,55 1448,751025 1447,963275 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-30 9,1905 9,1855 158,38 158,38 1455,59139 1454,79949 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-05-31 9,1665 9,1615 158,79 158,79 1455,548535 1454,754585 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-01 9,1455 9,1405 160,95 160,95 1471,968225 1471,163475 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-02 9,1565 9,1515 160,71 160,71 1471,541115 1470,737565 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-03 9,1315 9,1265 160,25 160,25 1463,322875 1462,521625 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-07 9,1455 9,1405 160,3 160,3 1466,02365 1465,22215 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-08 9,1455 9,1405 159,97 159,97 1463,005635 1462,205785 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-09 9,1965 9,1915 160,81 160,81 1478,889165 1478,085115 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-10 9,1975 9,1925 161,92 161,92 1489,2592 1488,4496 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-13 9,2365 9,2315 162,53 162,53 1501,208345 1500,395695 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-14 9,2985 9,2935 162,94 162,94 1515,09759 1514,28289 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-15 9,2695 9,2645 162,4 162,4 1505,3668 1504,5548 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-16 9,2695 9,2645 163,39 163,39 1514,543605 1513,726655 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-17 9,2695 9,2645 162,83 162,83 1509,352685 1508,538535 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-20 9,2255 9,2205 163,03 163,03 1504,033265 1503,218115 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-21 9,2725 9,2675 163,52 163,52 1516,2392 1515,4216 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-22 9,2615 9,2565 163,64 163,64 1515,55186 1514,73366 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-27 9,3855 9,3805 159,9 159,9 1500,74145 1499,94195 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-28 9,3995 9,3945 161,74 161,74 1520,27513 1519,46643 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-29 9,4215 9,4165 161,88 161,88 1525,15242 1524,34302 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-06-30 9,4415 9,4365 160,75 160,75 1517,721125 1516,917375 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-01 9,4595 9,4545 162,24 162,24 1534,70928 1533,89808 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-04 9,4795 9,4745 162,93 162,93 1544,494935 1543,680285 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-05 9,4575 9,4525 163,02 163,02 1541,76165 1540,94655 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-06 9,4195 9,4145 162,82 162,82 1533,68299 1532,86889 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-07 9,3965 9,3915 161,43 161,43 1516,876995 1516,069845 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-08 9,4175 9,4125 163,34 163,34 1538,25445 1537,43775 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-11 9,4665 9,4615 163,35 163,35 1546,352775 1545,536025 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-12 9,4645 9,4595 162,67 162,67 1539,590215 1538,776865 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-13 9,3915 9,3865 163,82 163,82 1538,51553 1537,69643 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-14 9,3675 9,3625 164,85 164,85 1544,232375 1543,408125 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-15 9,4055 9,4005 165,74 165,74 1558,86757 1558,03887 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-18 9,3895 9,3845 165,15 165,15 1550,675925 1549,850175 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-19 9,4425 9,4375 166 166 1567,455 1566,625 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-20 9,4265 9,4215 166,54 166,54 1569,88931 1569,05661 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-21 9,4625 9,4575 166,16 166,16 1572,289 1571,4582 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-22 9,4495 9,4445 166,44 166,44 1572,77478 1571,94258 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-25 9,4275 9,4225 166,41 166,41 1568,830275 1567,998225 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-26 9,4155 9,4105 166,94 166,94 1571,82357 1570,98887 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-27 9,4725 9,4675 167,23 167,23 1584,086175 1583,250025 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-28 9,4515 9,4465 167,23 167,23 1580,574345 1579,738195 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-07-29 9,3885 9,3835 166,19 166,19 1560,274815 1559,443865 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-01 9,3985 9,3935 166,06 166,06 1560,71491 1559,88461 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-02 9,3995 9,3945 167,37 167,37 1573,194315 1572,357465 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-03 9,3755 9,3705 166,17 166,17 1557,926835 1557,095985 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-04 9,3735 9,3685 164,62 164,62 1543,06557 1542,24247 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-05 9,3355 9,3305 164 164 1531,022 1530,202 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-08 9,3335 9,3285 164,62 164,62 1536,48077 1535,65767 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-09 9,3455 9,3405 165,15 165,15 1543,409325 1542,583575 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-10 9,3535 9,3485 166,12 166,12 1553,80342 1552,97282 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-11 9,3365 9,3315 166,11 166,11 1550,886015 1550,055465 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-12 9,3025 9,2975 165,91 165,91 1543,377775 1542,548225 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-16 9,2995 9,2945 165,97 165,97 1543,438015 1542,608165 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-17 9,3405 9,3355 165,82 165,82 1548,84171 1548,01261 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-18 9,3365 9,3315 166,49 166,49 1554,433885 1553,601435 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-19 9,3395 9,3345 167,54 167,54 1564,73983 1563,90213 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-22 9,3655 9,3605 167,54 167,54 1569,09587 1568,25817 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-23 9,3715 9,3665 167,27 167,27 1567,570805 1566,734455 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-24 9,3365 9,3315 165,98 165,98 1549,67227 1548,84237 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-25 9,3335 9,3285 165,57 165,57 1545,347595 1544,519745 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-26 9,3415 9,3365 164,39 164,39 1535,649185 1534,827235 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-29 9,3295 9,3245 164,83 164,83 1537,781485 1536,957335 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-30 9,3285 9,3235 165,22 165,22 1541,25477 1540,42867 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-08-31 9,3585 9,3535 165,26 165,26 1546,58571 1545,75941 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-01 9,3365 9,3315 164,43 164,43 1535,200695 1534,378545 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-02 9,3025 9,2975 163,82 163,82 1523,93555 1523,11645 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-05 9,2845 9,2795 164,66 164,66 1528,78577 1527,96247 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-06 9,3225 9,3175 166,11 166,11 1548,560475 1547,729925 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-07 9,3075 9,3025 166,88 166,88 1553,2356 1552,4012 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-08 9,3255 9,3205 166,58 166,58 1553,44179 1552,60889 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-09 9,3445 9,3395 168,02 168,02 1570,06289 1569,22279 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-12 9,3015 9,2965 169,41 169,41 1575,767115 1574,920065 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-13 9,3015 9,2965 168,52 168,52 1567,48878 1566,64618 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-14 9,3365 9,3315 168,33 168,33 1571,613045 1570,771395 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-15 9,3425 9,3375 168,99 168,99 1578,789075 1577,944125 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-16 9,3465 9,3415 169,83 169,83 1587,316095 1586,466945 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-19 9,3355 9,3305 169,89 169,89 1586,008095 1585,158645 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-20 9,3395 9,3345 169,98 169,98 1587,52821 1586,67831 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-21 9,3405 9,3355 168,19 168,19 1570,978695 1570,137745 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-22 9,3405 9,3355 169,02 169,02 1578,73131 1577,88621 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-23 9,3695 9,3645 169,76 169,76 1590,56632 1589,71752 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-26 9,3815 9,3765 171,72 171,72 1610,99118 1610,13258 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-27 9,3885 9,3835 171,46 171,46 1609,75221 1608,89491 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-28 9,3935 9,3885 171,92 171,92 1614,93052 1614,07092 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-29 9,3845 9,3795 173,34 173,34 1626,70923 1625,84253 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-09-30 9,3435 9,3385 173,08 173,08 1617,17298 1616,30758 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-03 9,3025 9,2975 174,88 174,88 1626,8212 1625,9468 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-04 9,3185 9,3135 174,75 174,75 1628,407875 1627,534125 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-05 9,3105 9,3055 172,97 172,97 1610,437185 1609,572335 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-06 9,3015 9,2965 169,53 169,53 1576,883295 1576,035645 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-07 9,3385 9,3335 169,24 169,24 1580,44774 1579,60154 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-10 9,3465 9,3415 169,5 169,5 1584,23175 1583,38425 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-11 9,3395 9,3345 170,07 170,07 1588,368765 1587,518415 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-12 9,3375 9,3325 168,78 168,78 1575,98325 1575,13935 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-13 9,3815 9,3765 169,15 169,15 1586,880725 1586,034975 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-14 9,4135 9,4085 168,45 168,45 1585,704075 1584,861825 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-17 9,4575 9,4525 168,79 168,79 1596,331425 1595,487475 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-18 9,4625 9,4575 168,61 168,61 1595,472125 1594,629075 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-19 9,4605 9,4555 167,86 167,86 1588,03953 1587,20023 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-20 9,4935 9,4885 167,35 167,35 1588,737225 1587,900475 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-21 9,4915 9,4865 166,75 166,75 1582,707625 1581,873875 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-24 9,5455 9,5405 168,48 168,48 1608,22584 1607,38344 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-25 9,5465 9,5415 167,68 167,68 1600,75712 1599,91872 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-26 9,4975 9,4925 168,06 168,06 1596,14985 1595,30955 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-27 9,5355 9,5305 166,33 166,33 1586,039715 1585,208065 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-28 9,5135 9,5085 167,6 167,6 1594,4626 1593,6246 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-10-31 9,5495 9,5445 170,15 170,15 1624,847425 1623,996675 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-02 9,5855 9,5805 169,82 169,82 1627,80961 1626,96051 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-03 9,6515 9,6465 171,5 171,5 1655,23225 1654,37475 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-04 9,5875 9,5825 173,42 173,42 1662,66425 1661,79715 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-07 9,6075 9,6025 174,31 174,31 1674,683325 1673,811775 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-08 9,5685 9,5635 174,72 174,72 1671,80832 1670,93472 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-09 9,5575 9,5525 174,88 174,88 1671,4156 1670,5412 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-10 9,6105 9,6055 175,23 175,23 1684,047915 1683,171765 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-11 9,6365 9,6315 176,85 176,85 1704,215025 1703,330775 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-14 9,5505 9,5455 176,33 176,33 1684,039665 1683,158015 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-15 9,5805 9,5755 175,94 175,94 1685,59317 1684,71347 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-16 9,6235 9,6185 176,01 176,01 1693,832235 1692,952185 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-17 9,6355 9,6305 176,57 176,57 1701,340235 1700,457385 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-18 9,6085 9,6035 177,99 177,99 1710,216915 1709,326965 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-21 9,5915 9,5865 178,18 178,18 1709,01347 1708,12257 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-22 9,5585 9,5535 178,89 178,89 1709,920065 1709,025615 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-23 9,5155 9,5105 178,89 178,89 1702,227795 1701,333345 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-24 9,5125 9,5075 178,82 178,82 1701,02525 1700,13115 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-25 9,4965 9,4915 179,64 179,64 1705,95126 1705,05306 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-28 9,4835 9,4785 178,56 178,56 1693,37376 1692,48096 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-29 9,4785 9,4735 179,02 179,02 1696,84107 1695,94597 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-11-30 9,5295 9,5245 177,59 177,59 1692,343905 1691,455955 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-01 9,5165 9,5115 180,11 180,11 1714,016815 1713,116265 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-02 9,4905 9,4855 181,23 181,23 1719,963315 1719,057165 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-05 9,4065 9,4015 180,07 180,07 1693,828455 1692,928105 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-06 9,4185 9,4135 180,04 180,04 1695,70674 1694,80654 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-07 9,4255 9,4205 180,29 180,29 1699,323395 1698,421945 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-08 9,3965 9,3915 178,59 178,59 1678,120935 1677,227985 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-12 9,4315 9,4265 177,66 177,66 1675,60029 1674,71199 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-13 9,4295 9,4245 178,86 178,86 1686,56037 1685,66607 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-14 9,4365 9,4315 178,01 178,01 1679,791365 1678,901315 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-15 9,4345 9,4295 178,23 178,23 1681,510935 1680,619785 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-16 9,4765 9,4715 177,96 177,96 1686,43794 1685,54814 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-19 9,4535 9,4485 177,85 177,85 1681,304975 1680,415725 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-20 9,4015 9,3965 178,82 178,82 1681,17623 1680,28213 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-21 9,4485 9,4435 180,12 180,12 1701,86382 1700,96322 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-22 9,4365 9,4315 180,24 180,24 1700,83476 1699,93356 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-23 9,4425 9,4375 180,36 180,36 1703,0493 1702,1475 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-27 9,4915 9,4865 179,42 179,42 1702,96493 1702,06783 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-28 9,4345 9,4295 178,96 178,96 1688,39812 1687,50332 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-29 9,4115 9,4065 179,98 179,98 1693,88177 1692,98187 766782 Storebrand Luxembourg S.A. Storebrand Principle Global Fund EUR 2005-12-30 9,4325 9,4275 180,07 180,07 1698,510275 1697,609925 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-03 1,0958 1,0942 938,3154 935,5046 1028,20601532 1023,62913332 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-04 1,0963 1,0947 934,73 931,93 1024,744499 1020,183771 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-05 1,0923 1,0907 927,6093 924,8307 1013,22763839 1008,71284449 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-07 1,0978 1,0962 936,4125 933,6075 1027,9936425 1023,4205415 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-10 1,1082 1,1066 938,756 935,944 1040,3293992 1035,7156304 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-11 1,1082 1,1066 918,9163 916,1637 1018,34304366 1013,82675042 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-12 1,1038 1,1022 915,3309 912,5891 1010,34224742 1005,85570602 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-13 1,1023 1,1007 916,7731 914,0269 1010,55898813 1006,06940883 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-14 1,1073 1,1057 927,4291 924,6509 1026,94224243 1022,38650013 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-18 1,1083 1,1067 935,371 932,569 1036,6716793 1032,0741123 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-19 1,1083 1,1067 915,7716 913,0284 1014,94966428 1010,44853028 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-20 1,1073 1,1057 918,4156 915,6644 1016,96159388 1012,45012708 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-21 1,1038 1,1022 908,5708 905,8492 1002,88044904 998,42698824 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-24 1,1053 1,1037 897,1838 894,4962 991,65725414 987,25545594 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-25 1,1063 1,1047 908,6409 905,9191 1005,22942767 1000,76882977 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-26 1,1038 1,1022 915,7416 912,9984 1010,79557808 1006,30683648 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-27 1,0988 1,0972 923,5733 920,8067 1014,82234204 1010,30911124 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-28 1,1033 1,1017 921,1597 918,4003 1016,31549701 1011,80161051 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-01-31 1,1028 1,1012 933,8286 931,0314 1029,82618008 1025,25177768 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-01 1,0983 1,0967 941,1496 938,3304 1033,66460568 1029,06694968 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-02 1,0988 1,0972 940,4686 937,6514 1033,38689768 1028,79111608 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-03 1,0983 1,0967 932,4165 929,6235 1024,07304195 1019,51809245 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-04 1,0968 1,0952 954,1691 951,3109 1046,53266888 1041,87569768 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-07 1,0938 1,0922 972,146 969,234 1063,3332948 1058,5973748 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-08 1,0898 1,0882 981,2196 978,2804 1069,33312008 1064,56473128 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-09 1,0843 1,0827 965,6864 962,7936 1047,09376352 1042,41663072 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-10 1,0848 1,0832 961,9608 959,0792 1043,53507584 1038,87458944 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-11 1,0788 1,0772 976,2522 973,3278 1053,18087336 1048,46870616 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-14 1,0828 1,0812 972,787 969,873 1053,3337636 1048,6266876 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-15 1,0833 1,0817 981,3598 978,4202 1063,10707134 1058,35713034 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-16 1,0848 1,0832 973,3979 970,4821 1055,94204192 1051,22621072 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-17 1,0863 1,0847 957,6443 954,7757 1040,28900309 1035,64520179 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-18 1,0943 1,0927 941,1997 938,3803 1029,95483171 1025,36815381 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-22 1,1028 1,1012 923,3029 920,5371 1018,21843812 1013,69545452 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-23 1,1023 1,1007 922,3615 919,5985 1016,71908145 1012,20206895 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-24 1,1013 1,0997 934,079 931,281 1028,7012027 1024,1297157 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-25 1,1018 1,1002 944,5147 941,6854 1040,66629646 1036,04227708 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-02-28 1,0968 1,0952 929,8727 927,0873 1019,88437736 1015,34601096 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-01 1,1013 1,0997 943,1726 940,3474 1038,71598438 1034,10003578 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-02 1,1068 1,1052 950,6338 947,7862 1052,16148984 1047,49330824 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-03 1,1058 1,1042 941,0094 938,1906 1040,56819452 1035,95006052 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-04 1,1013 1,0997 938,5257 935,7143 1033,59835341 1029,00501571 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-07 1,1003 1,0987 949,5622 946,7178 1044,80328866 1040,15884686 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-08 1,1033 1,1017 929,7125 926,9275 1025,75180125 1021,19602675 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-09 1,1053 1,1037 928,9413 926,1587 1026,75881889 1022,20135719 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-10 1,1053 1,1037 926,2673 923,4927 1023,80324669 1019,25889299 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-11 1,1113 1,1097 914,8402 912,0998 1016,66191426 1012,15714806 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-14 1,1113 1,1097 920,6689 917,9111 1023,13934857 1018,60594767 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-15 1,1138 1,1122 919,6274 916,8726 1024,28099812 1019,74570572 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-16 1,1128 1,1112 902,1312 899,4288 1003,89159936 999,44528256 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-17 1,1193 1,1177 900,9093 898,2107 1008,38777949 1003,93009939 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-18 1,1193 1,1177 903,5333 900,8267 1011,32482269 1006,85400259 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-21 1,1218 1,1202 909,5323 906,8077 1020,31333414 1015,80598554 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-22 1,1183 1,1167 904,3245 901,6155 1011,30608835 1006,83402885 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-23 1,1158 1,1142 920,5087 917,7513 1027,10360746 1022,55849846 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-29 1,1103 1,1087 924,2543 921,4857 1026,19954929 1021,65119559 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-30 1,1168 1,1152 930,0029 927,2171 1038,62723872 1034,03250992 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-03-31 1,1163 1,1147 925,3259 922,5541 1032,94130217 1028,37105527 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-01 1,1173 1,1157 922,1712 919,4088 1030,34188176 1025,78439816 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-04 1,1198 1,1182 927,5492 924,7708 1038,66959416 1034,07870856 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-05 1,1223 1,1207 924,4646 921,6954 1037,52662058 1032,94403478 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-06 1,1243 1,1227 925,1056 922,3344 1040,09622608 1035,50483088 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-07 1,1208 1,1192 934,1291 931,3309 1046,97189528 1042,34554328 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-08 1,1208 1,1192 935,2808 932,4792 1048,26272064 1043,63072064 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-11 1,1203 1,1187 924,4045 921,6355 1035,61036135 1031,03363385 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-12 1,1173 1,1157 930,3635 927,5765 1039,49513855 1034,89710105 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-13 1,1183 1,1167 917,6144 914,8656 1026,16818352 1021,63041552 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-14 1,1153 1,1137 910,9344 908,2056 1015,96513632 1011,46857672 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-15 1,1178 1,1162 869,9229 867,3171 972,39981762 968,09934702 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-18 1,1148 1,1132 861,5905 859,0096 960,5010894 956,24948672 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-19 1,1213 1,1197 875,3511 872,7289 981,53118843 977,19454933 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-20 1,1218 1,1202 860,4387 857,8613 965,24013366 960,97622826 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-21 1,1253 1,1237 879,5073 876,8727 989,70956469 985,34185299 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-22 1,1248 1,1232 869,1317 866,5283 977,59933616 973,28458656 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-25 1,1258 1,1242 879,3971 876,77 990,02525518 985,664834 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-26 1,1243 1,1227 874,3596 871,7404 983,04249828 978,70294708 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-27 1,1253 1,1237 872,9675 870,3525 982,35032775 978,01510425 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-28 1,1248 1,1232 869,5824 866,9776 978,10628352 973,78924032 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-04-29 1,1268 1,1252 873,3481 870,7319 984,08863908 979,74753388 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-02 1,1313 1,1297 881,6605 879,0195 997,42252365 993,02832915 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-03 1,1343 1,1327 879,6375 877,0025 997,77281625 993,38073175 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-04 1,1323 1,1307 887,6194 884,9606 1005,05144662 1000,62495042 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-06 1,1313 1,1297 900,3685 897,6715 1018,58688405 1014,09949355 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-09 1,1288 1,1272 903,4932 900,7868 1019,86312416 1015,36688096 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-10 1,1328 1,1312 888,7411 886,0789 1006,76591808 1002,33245168 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-11 1,1398 1,1382 892,3665 889,6935 1017,1193367 1012,6491417 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-12 1,1418 1,1402 898,5959 895,9041 1026,01679862 1021,50985482 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-13 1,1373 1,1357 914,6399 911,9001 1040,21995827 1035,64494357 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-18 1,1373 1,1357 936,9633 934,1567 1065,60836109 1060,92176419 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-19 1,1328 1,1312 948,5006 945,6594 1074,46147968 1069,72991328 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-20 1,1338 1,1322 958,9162 956,0438 1087,21918756 1082,43279036 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-23 1,1303 1,1287 959,8576 956,9824 1084,92704528 1080,14603488 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-24 1,1323 1,1307 962,3914 959,5086 1089,71578222 1084,91637402 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-25 1,1353 1,1337 951,3048 948,4552 1080,01633944 1075,26366024 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-26 1,1478 1,1462 957,9348 955,0653 1099,51756344 1094,69584686 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-27 1,1528 1,1512 956,5527 953,6873 1102,71395256 1097,88481976 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-05-31 1,1488 1,1472 956,783 953,917 1099,1523104 1094,3335824 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-01 1,1533 1,1517 969,7625 966,8575 1118,42709125 1113,52978275 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-02 1,1563 1,1547 973,2277 970,3123 1125,34318951 1120,41961281 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-03 1,1533 1,1517 956,9032 954,0368 1103,59646056 1098,76418256 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-07 1,1613 1,1597 944,6949 941,8651 1097,07418737 1092,28095647 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-08 1,1593 1,1577 948,4005 945,5595 1099,48069965 1094,67423315 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-09 1,1618 1,1602 957,2237 954,3563 1112,10249466 1107,24417926 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-10 1,1648 1,1632 946,6278 943,7922 1102,63206144 1097,81908704 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-13 1,1778 1,1762 953,1576 950,3024 1122,62902128 1117,74568288 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-14 1,1823 1,1807 955,461 952,599 1129,6415403 1124,7336393 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-15 1,1798 1,1782 957,3639 954,4961 1129,49792922 1124,58730502 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-16 1,1773 1,1757 959,9678 957,0922 1130,17009094 1125,25329954 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-17 1,1798 1,1782 957,8246 954,9554 1130,04146308 1125,12845228 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-20 1,1728 1,1712 958,9827 956,1101 1124,69491056 1119,79614912 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-21 1,1803 1,1787 965,7264 962,8336 1139,84686992 1134,89196432 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-22 1,1773 1,1757 972,807 969,893 1145,2856811 1140,3032001 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-23 1,1853 1,1837 984,2942 981,3458 1166,68391526 1161,61902346 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-27 1,1838 1,1822 954,1992 951,3408 1129,58101296 1124,67509376 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-28 1,1833 1,1817 967,5592 964,6608 1144,91280136 1139,93966736 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-29 1,1888 1,1872 961,9107 959,0293 1143,51944016 1138,55958496 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-06-30 1,1933 1,1917 952,1861 949,3339 1136,24367313 1131,32120863 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-01 1,1983 1,1967 957,0935 954,2265 1146,88514105 1141,92285255 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-05 1,1983 1,1967 967,6493 964,7507 1159,53415619 1154,51716269 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-06 1,1918 1,1902 967,0184 964,1216 1152,49252912 1147,49752832 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-07 1,1883 1,1867 961,0294 958,1506 1141,99123602 1137,03731702 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-08 1,1943 1,1927 976,2221 973,2979 1165,90205403 1160,85240533 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-11 1,1998 1,1982 982,5416 979,5984 1178,85341168 1173,75480288 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-12 1,1983 1,1967 984,8851 981,9349 1180,18781533 1175,08149483 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-13 1,1908 1,1892 998,0248 995,0352 1188,44793184 1183,29585984 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-14 1,1838 1,1822 1008,4604 1005,4396 1193,81542152 1188,63069512 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-15 1,1823 1,1807 1016,5726 1013,5274 1201,89378498 1196,67180118 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-18 1,1808 1,1792 1014,85 1011,81 1198,33488 1193,126352 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-19 1,1768 1,1752 1038,3953 1035,2847 1221,98358904 1216,66657944 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-20 1,1768 1,1752 1033,6081 1030,5119 1216,35001208 1211,05758488 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-21 1,1863 1,1847 1027,4489 1024,3711 1218,86263007 1213,57244217 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-22 1,1868 1,1852 1025,2055 1022,1345 1216,7138874 1211,4338094 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-25 1,1863 1,1847 1019,4669 1016,4131 1209,39358347 1204,14459957 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-26 1,1913 1,1897 1023,7934 1020,7266 1219,64507742 1214,35843602 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-27 1,1978 1,1962 1036,3923 1033,2877 1241,39069694 1236,01874674 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-28 1,1928 1,1912 1033,3978 1030,3022 1232,63689584 1227,29598064 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-07-29 1,1883 1,1867 1015,0503 1012,0097 1206,18427149 1200,95191099 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-01 1,1963 1,1947 1006,5576 1003,5424 1204,14485688 1198,93210528 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-02 1,1983 1,1967 1017,9446 1014,8954 1219,80301418 1214,52532518 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-03 1,1933 1,1917 1009,8826 1006,8574 1205,09290658 1199,87196358 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-04 1,1933 1,1917 996,0118 993,0282 1188,54088094 1183,39170594 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-05 1,1873 1,1857 998,4955 995,5045 1185,51370715 1180,36968565 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-08 1,1783 1,1767 990,7739 987,8061 1167,42888637 1162,35143787 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-09 1,1818 1,1802 999,4469 996,4531 1181,14634642 1176,01394862 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-10 1,1843 1,1827 990,7138 987,7462 1173,30235334 1168,20743074 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-11 1,1828 1,1812 991,475 988,505 1172,71663 1167,622106 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-12 1,1793 1,1777 987,1485 984,1915 1164,14422605 1159,08232955 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-15 1,1768 1,1752 1002,2511 999,2489 1179,44909448 1174,31730728 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-16 1,1653 1,1637 993,2877 990,3123 1157,47815681 1152,42642351 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-17 1,1773 1,1757 995,0804 992,0996 1171,50815492 1166,41149972 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-18 1,1773 1,1757 1000,2882 997,2918 1177,63929786 1172,51596926 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-19 1,1748 1,1732 1011,2746 1008,2454 1188,04540008 1182,87350328 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-22 1,1728 1,1712 1005,9967 1002,9833 1179,83292976 1174,69404096 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-23 1,1708 1,1692 1010,7138 1007,6862 1183,34371704 1178,18670504 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-24 1,1743 1,1727 1002,822 999,818 1177,6138746 1172,4865686 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-25 1,1768 1,1752 995,7013 992,7187 1171,74128984 1166,64301624 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-26 1,1773 1,1757 990,6037 987,6363 1166,23773601 1161,16399791 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-29 1,1798 1,1782 994,5696 991,5904 1173,39321408 1168,29180928 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-30 1,1793 1,1777 1000,1981 997,202 1179,53361933 1174,4047954 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-08-31 1,1848 1,1832 992,0759 989,1041 1175,41152632 1170,30797112 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-01 1,1888 1,1872 976,2322 973,3078 1160,54483936 1155,51102016 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-02 1,1948 1,1932 966,087 963,193 1154,2807476 1149,2818876 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-06 1,1898 1,1882 985,446 982,494 1172,4836508 1167,3993708 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-07 1,1938 1,1922 991,0443 988,0757 1183,10868534 1177,98384954 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-08 1,1988 1,1972 1001,0493 998,0507 1200,05790084 1194,86629804 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-09 1,2008 1,1992 1010,153 1007,127 1212,9917224 1207,7466984 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-12 1,1953 1,1937 1026,4374 1023,3627 1226,90062422 1221,58805499 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-13 1,1938 1,1922 1023,3327 1020,2673 1221,65457726 1216,36267506 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-14 1,1953 1,1937 1012,2361 1009,2039 1209,92581033 1204,68669543 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-15 1,2003 1,1987 1013,8285 1010,7915 1216,89834855 1211,63577105 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-16 1,2008 1,1992 1020,9992 1017,9408 1226,01583936 1220,71460736 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-19 1,1973 1,1957 1019,6872 1016,6328 1220,87148456 1215,58783896 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-20 1,2018 1,2002 1011,0343 1008,0057 1215,06102174 1209,80844114 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-21 1,1988 1,1972 998,856 995,864 1197,4285728 1192,2483808 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-22 1,2018 1,2002 1001,4199 998,4201 1203,50643582 1198,30380402 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-23 1,2043 1,2027 1007,9196 1004,9004 1213,83757428 1208,59371108 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-26 1,1993 1,1977 1015,0803 1012,0397 1217,38580379 1212,11994869 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-27 1,2003 1,1987 1016,3022 1013,2578 1219,86753066 1214,59212486 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-28 1,2013 1,1997 1024,4243 1021,3557 1230,64091159 1225,32043329 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-29 1,2023 1,2007 1037,8745 1034,7655 1247,83651135 1242,44293585 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-09-30 1,1918 1,1902 1043,8134 1040,6866 1244,01681012 1238,62519132 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-03 1,1798 1,1782 1058,4954 1055,3246 1248,81287292 1243,38344372 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-04 1,1838 1,1822 1059,1864 1056,0136 1253,86486032 1248,41927792 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-05 1,1788 1,1772 1037,4739 1034,3661 1222,97423332 1217,65577292 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-06 1,1798 1,1782 1016,182 1013,138 1198,8915236 1193,6791916 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-07 1,1828 1,1812 1017,2236 1014,1765 1203,17207408 1197,9452818 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-10 1,1808 1,1792 1011,7353 1008,7047 1194,65704224 1189,46458224 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-11 1,1898 1,1882 1001,7404 998,7396 1191,87072792 1186,70239272 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-12 1,1918 1,1902 989,8425 986,8775 1179,6942915 1174,5816005 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-13 1,2023 1,2007 1001,0694 998,0706 1203,58573962 1198,38336942 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-14 1,2028 1,2012 997,524 994,536 1199,8218672 1194,6366432 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-17 1,2118 1,2102 1003,5931 1000,5869 1216,15411858 1210,91026638 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-18 1,2118 1,2102 999,8075 996,8125 1211,5667285 1206,3424875 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-19 1,2103 1,2087 998,9061 995,9139 1208,97605283 1203,76113093 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-20 1,2173 1,2157 990,6437 987,6763 1205,91057601 1200,71807791 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-21 1,2183 1,2167 994,6197 991,6403 1211,74518051 1206,52875301 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-24 1,2243 1,2227 1009,6122 1006,5879 1236,06821646 1230,75502533 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-25 1,2203 1,2187 998,0949 995,1051 1217,97520647 1212,73458537 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-26 1,2148 1,2132 990,3633 987,3967 1203,09333684 1197,90967644 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-27 1,2228 1,2212 965,3058 962,4142 1180,37593224 1175,30022104 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-28 1,2188 1,2172 969,6423 966,7377 1181,80003524 1176,71312844 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-10-31 1,2233 1,2217 987,0183 984,0617 1207,41948639 1202,22817889 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-11-01 1,2273 1,2257 980,0479 977,1121 1202,81278767 1197,64630097 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-11-02 1,2338 1,2322 986,6377 983,6823 1217,31359426 1212,09333006 969014 Storebrand Kapitalforvaltning AS Storebrand Teknologi NOK 2005-11-03 1,2398 1,2382 1005,0754 1002,0646 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UBAM-US Equity Growth USD 2005-02-09 7,1 7,09 228,66 228,66 1623,486 1621,1994 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-10 7,088 7,078 230,13 230,13 1631,16144 1628,86014 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-11 7,068 7,058 232,44 232,44 1642,88592 1640,56152 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-14 7,03 7,02 232,98 232,98 1637,8494 1635,5196 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-15 7,005 6,995 233,86 233,86 1638,1893 1635,8507 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-16 6,973 6,963 234,14 234,14 1632,65822 1630,31682 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-17 6,97 6,96 231,78 231,78 1615,5066 1613,1888 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-18 6,965 6,955 230,79 230,79 1607,45235 1605,14445 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-21 6,978 6,968 230,75 230,75 1610,1735 1607,866 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-22 6,905 6,895 227,25 227,25 1569,16125 1566,88875 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-23 6,895 6,885 227,91 227,91 1571,43945 1569,16035 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-24 6,858 6,848 229,81 229,81 1576,03698 1573,73888 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-25 6,885 6,875 231,63 231,63 1594,77255 1592,45625 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-02-28 6,828 6,818 230,11 230,11 1571,19108 1568,88998 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-03-01 6,87 6,86 230,55 230,55 1583,8785 1581,573 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-03-02 6,888 6,878 230,48 230,48 1587,54624 1585,24144 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-03-03 6,903 6,893 230,05 230,05 1588,03515 1585,73465 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-03-04 6,9 6,89 231,35 231,35 1596,315 1594,0015 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-03-07 6,84 6,83 232,92 232,92 1593,1728 1590,8436 724872 Union Bancaire Privée S.A. UBAM-US Equity Growth USD 2005-03-08 6,825 6,815 231,27 231,27 1578,41775 1576,10505 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-10 9,08619 9,08119 10,15 10,15 92,2248285 92,1740785 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-11 9,08619 9,08119 10,15 10,15 92,2248285 92,1740785 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-12 9,0455 9,0405 10,15 10,15 91,811825 91,761075 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-13 9,0505 9,0455 10,15 10,15 91,862575 91,811825 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-14 9,0455 9,0405 10,15 10,15 91,811825 91,761075 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-17 9,0685 9,0635 10,15 10,15 92,045275 91,994525 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-18 9,0585 9,0535 10,15 10,15 91,943775 91,893025 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-19 9,0225 9,0175 10,15 10,15 91,578375 91,527625 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-20 9,0315 9,0265 10,14 10,14 91,57941 91,52871 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-21 9,0505 9,0455 10,14 10,14 91,77207 91,72137 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-24 9,0655 9,0605 10,14 10,14 91,92417 91,87347 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-25 9,0715 9,0665 10,15 10,15 92,075725 92,024975 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-26 9,0885 9,0835 10,15 10,15 92,248275 92,197525 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-27 9,0675 9,0625 10,15 10,15 92,035125 91,984375 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-28 9,0955 9,0905 10,15 10,15 92,319325 92,268575 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-01-31 9,1075 9,1025 10,15 10,15 92,441125 92,390375 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-01 9,1035 9,0985 10,15 10,15 92,400525 92,349775 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-02 9,0905 9,0855 10,15 10,15 92,268575 92,217825 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-03 9,0695 9,0645 10,15 10,15 92,055425 92,004675 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-04 9,0895 9,0845 10,15 10,15 92,258425 92,207675 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-07 9,0755 9,0705 10,15 10,15 92,116325 92,065575 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-08 9,0895 9,0845 10,15 10,15 92,258425 92,207675 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-09 9,0695 9,0645 10,14 10,14 91,96473 91,91403 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-10 9,0805 9,0755 10,15 10,15 92,167075 92,116325 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-11 9,0935 9,0885 10,15 10,15 92,299025 92,248275 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-14 9,1105 9,1055 10,16 10,16 92,56268 92,51188 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-15 9,0765 9,0715 10,16 10,16 92,21724 92,16644 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-16 9,0705 9,0655 10,17 10,17 92,246985 92,196135 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-17 9,0925 9,0875 10,17 10,17 92,470725 92,419875 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-18 9,0945 9,0895 10,18 10,18 92,58201 92,53111 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-21 9,1185 9,1135 10,18 10,18 92,82633 92,77543 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-22 9,0975 9,0925 10,19 10,19 92,703525 92,652575 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-23 9,1045 9,0995 10,19 10,19 92,774855 92,723905 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-24 9,0715 9,0665 10,19 10,19 92,438585 92,387635 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-25 9,0845 9,0795 10,19 10,19 92,571055 92,520105 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-02-28 9,0505 9,0455 10,2 10,2 92,3151 92,2641 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-01 9,0565 9,0515 10,2 10,2 92,3763 92,3253 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-02 9,0645 9,0595 10,2 10,2 92,4579 92,4069 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-03 9,0675 9,0625 10,2 10,2 92,4885 92,4375 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-04 9,0415 9,0365 10,2 10,2 92,2233 92,1723 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-07 9,0425 9,0375 10,2 10,2 92,2335 92,1825 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-08 9,0345 9,0295 10,21 10,21 92,242245 92,191195 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-09 9,0365 9,0315 10,22 10,22 92,35303 92,30193 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-10 9,0655 9,0605 10,21 10,21 92,558755 92,507705 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-11 9,0795 9,0745 10,21 10,21 92,701695 92,650645 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-14 9,0695 9,0645 10,21 10,21 92,599595 92,548545 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-15 9,1035 9,0985 10,21 10,21 92,946735 92,895685 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-16 9,0975 9,0925 10,2 10,2 92,7945 92,7435 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-17 9,1045 9,0995 10,19 10,19 92,774855 92,723905 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-18 9,1035 9,0985 10,2 10,2 92,8557 92,8047 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-21 9,1265 9,1215 10,19 10,19 92,999035 92,948085 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-22 9,1265 9,1215 10,2 10,2 93,0903 93,0393 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-23 9,1165 9,1115 10,19 10,19 92,897135 92,846185 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-24 9,1135 9,1085 10,19 10,19 92,866565 92,815615 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-29 9,1315 9,1265 10,19 10,19 93,049985 92,999035 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-30 9,1425 9,1375 10,18 10,18 93,07065 93,01975 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-03-31 9,1405 9,1355 10,17 10,17 92,958885 92,908035 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-01 9,1645 9,1595 10,18 10,18 93,29461 93,24371 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-04 9,1695 9,1645 10,17 10,17 93,253815 93,202965 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-05 9,1745 9,1695 10,17 10,17 93,304665 93,253815 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-06 9,1705 9,1655 10,18 10,18 93,35569 93,30479 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-07 9,1505 9,1455 10,18 10,18 93,15209 93,10119 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-08 9,1625 9,1575 10,19 10,19 93,365875 93,314925 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-11 9,1705 9,1655 10,18 10,18 93,35569 93,30479 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-12 9,1525 9,1475 10,17 10,17 93,080925 93,030075 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-13 9,1495 9,1445 10,17 10,17 93,050415 92,999565 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-14 9,1685 9,1635 10,16 10,16 93,15196 93,10116 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-15 9,1925 9,1875 10,14 10,14 93,21195 93,16125 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-18 9,1805 9,1755 10,13 10,13 92,998465 92,947815 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-19 9,2035 9,1985 10,13 10,13 93,231455 93,180805 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-20 9,1915 9,1865 10,14 10,14 93,20181 93,15111 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-21 9,1855 9,1805 10,15 10,15 93,232825 93,182075 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-22 9,1625 9,1575 10,15 10,15 92,999375 92,948625 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-25 9,1685 9,1635 10,15 10,15 93,060275 93,009525 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-26 9,1375 9,1325 10,15 10,15 92,745625 92,694875 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-27 9,1465 9,1415 10,15 10,15 92,836975 92,786225 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-28 9,1505 9,1455 10,14 10,14 92,78607 92,73537 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-04-29 9,1705 9,1655 10,14 10,14 92,98887 92,93817 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-02 9,1935 9,1885 10,14 10,14 93,22209 93,17139 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-03 9,2245 9,2195 10,14 10,14 93,53643 93,48573 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-04 9,1915 9,1865 10,14 10,14 93,20181 93,15111 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-06 9,1715 9,1665 10,15 10,15 93,090725 93,039975 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-09 9,1815 9,1765 10,15 10,15 93,192225 93,141475 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-10 9,1985 9,1935 10,14 10,14 93,27279 93,22209 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-11 9,2105 9,2055 10,14 10,14 93,39447 93,34377 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-12 9,2315 9,2265 10,13 10,13 93,515095 93,464445 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-13 9,2045 9,1995 10,12 10,12 93,14954 93,09894 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-17 9,2325 9,2275 10,11 10,11 93,340575 93,290025 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-18 9,2095 9,2045 10,11 10,11 93,108045 93,057495 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-19 9,1905 9,1855 10,11 10,11 92,915955 92,865405 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-20 9,1955 9,1905 10,13 10,13 93,150415 93,099765 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-23 9,1805 9,1755 10,13 10,13 92,998465 92,947815 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-24 9,1815 9,1765 10,14 10,14 93,10041 93,04971 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-25 9,1785 9,1735 10,15 10,15 93,161775 93,111025 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-26 9,1945 9,1895 10,16 10,16 93,41612 93,36532 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-27 9,1955 9,1905 10,15 10,15 93,334325 93,283575 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-30 9,1905 9,1855 10,15 10,15 93,283575 93,232825 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-05-31 9,1665 9,1615 10,14 10,14 92,94831 92,89761 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-01 9,1455 9,1405 10,13 10,13 92,643915 92,593265 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-02 9,1565 9,1515 10,14 10,14 92,84691 92,79621 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-03 9,1315 9,1265 10,15 10,15 92,684725 92,633975 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-07 9,1455 9,1405 10,14 10,14 92,73537 92,68467 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-08 9,1455 9,1405 10,13 10,13 92,643915 92,593265 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-09 9,1965 9,1915 10,13 10,13 93,160545 93,109895 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-10 9,1975 9,1925 10,15 10,15 93,354625 93,303875 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-13 9,2365 9,2315 10,16 10,16 93,84284 93,79204 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-14 9,2985 9,2935 10,17 10,17 94,565745 94,514895 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-15 9,2695 9,2645 10,16 10,16 94,17812 94,12732 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-16 9,2695 9,2645 10,15 10,15 94,085425 94,034675 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-17 9,2695 9,2645 10,15 10,15 94,085425 94,034675 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-20 9,2255 9,2205 10,16 10,16 93,73108 93,68028 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-21 9,2725 9,2675 10,15 10,15 94,115875 94,065125 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-22 9,2615 9,2565 10,14 10,14 93,91161 93,86091 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-27 9,3855 9,3805 10,12 10,12 94,98126 94,93066 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-28 9,3995 9,3945 10,14 10,14 95,31093 95,26023 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-29 9,4215 9,4165 10,14 10,14 95,53401 95,48331 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-06-30 9,4415 9,4365 10,14 10,14 95,73681 95,68611 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-01 9,4595 9,4545 10,15 10,15 96,013925 95,963175 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-04 9,4795 9,4745 10,16 10,16 96,31172 96,26092 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-05 9,4575 9,4525 10,17 10,17 96,182775 96,131925 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-06 9,4195 9,4145 10,17 10,17 95,796315 95,745465 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-07 9,3965 9,3915 10,16 10,16 95,46844 95,41764 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-08 9,4175 9,4125 10,17 10,17 95,775975 95,725125 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-11 9,4665 9,4615 10,17 10,17 96,274305 96,223455 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-12 9,4645 9,4595 10,18 10,18 96,34861 96,29771 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-13 9,3915 9,3865 10,19 10,19 95,699385 95,648435 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-14 9,3675 9,3625 10,19 10,19 95,454825 95,403875 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-15 9,4055 9,4005 10,19 10,19 95,842045 95,791095 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-18 9,3895 9,3845 10,2 10,2 95,7729 95,7219 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-19 9,4425 9,4375 10,19 10,19 96,219075 96,168125 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-20 9,4265 9,4215 10,19 10,19 96,056035 96,005085 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-21 9,4625 9,4575 10,21 10,21 96,612125 96,561075 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-22 9,4495 9,4445 10,2 10,2 96,3849 96,3339 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-25 9,4275 9,4225 10,21 10,21 96,254775 96,203725 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-26 9,4155 9,4105 10,2 10,2 96,0381 95,9871 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-27 9,4725 9,4675 10,2 10,2 96,6195 96,5685 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-28 9,4515 9,4465 10,2 10,2 96,4053 96,3543 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-07-29 9,3885 9,3835 10,21 10,21 95,856585 95,805535 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-01 9,3985 9,3935 10,21 10,21 95,958685 95,907635 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-02 9,3995 9,3945 10,22 10,22 96,06289 96,01179 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-03 9,3755 9,3705 10,21 10,21 95,723855 95,672805 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-04 9,3735 9,3685 10,21 10,21 95,703435 95,652385 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-05 9,3355 9,3305 10,22 10,22 95,40881 95,35771 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-08 9,3335 9,3285 10,22 10,22 95,38837 95,33727 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-09 9,3455 9,3405 10,22 10,22 95,51101 95,45991 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-10 9,3535 9,3485 10,22 10,22 95,59277 95,54167 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-11 9,3365 9,3315 10,21 10,21 95,325665 95,274615 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-12 9,3025 9,2975 10,2 10,2 94,8855 94,8345 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-16 9,2995 9,2945 10,2 10,2 94,8549 94,8039 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-17 9,3405 9,3355 10,21 10,21 95,366505 95,315455 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-18 9,3365 9,3315 10,2 10,2 95,2323 95,1813 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-19 9,3395 9,3345 10,2 10,2 95,2629 95,2119 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-22 9,3655 9,3605 10,2 10,2 95,5281 95,4771 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-23 9,3715 9,3665 10,2 10,2 95,5893 95,5383 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-24 9,3365 9,3315 10,19 10,19 95,138935 95,087985 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-25 9,3335 9,3285 10,19 10,19 95,108365 95,057415 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-26 9,3415 9,3365 10,19 10,19 95,189885 95,138935 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-29 9,3295 9,3245 10,19 10,19 95,067605 95,016655 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-30 9,3285 9,3235 10,18 10,18 94,96413 94,91323 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-08-31 9,3585 9,3535 10,17 10,17 95,175945 95,125095 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-01 9,3365 9,3315 10,17 10,17 94,952205 94,901355 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-02 9,3025 9,2975 10,17 10,17 94,606425 94,555575 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-05 9,2845 9,2795 10,18 10,18 94,51621 94,46531 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-06 9,3225 9,3175 10,18 10,18 94,90305 94,85215 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-07 9,3075 9,3025 10,18 10,18 94,75035 94,69945 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-08 9,3255 9,3205 10,19 10,19 95,026845 94,975895 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-09 9,3445 9,3395 10,18 10,18 95,12701 95,07611 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-12 9,3015 9,2965 10,2 10,2 94,8753 94,8243 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-13 9,3015 9,2965 10,19 10,19 94,782285 94,731335 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-14 9,3365 9,3315 10,19 10,19 95,138935 95,087985 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-15 9,3425 9,3375 10,2 10,2 95,2935 95,2425 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-16 9,3465 9,3415 10,21 10,21 95,427765 95,376715 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-19 9,3355 9,3305 10,2 10,2 95,2221 95,1711 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-20 9,3395 9,3345 10,2 10,2 95,2629 95,2119 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-21 9,3405 9,3355 10,2 10,2 95,2731 95,2221 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-22 9,3405 9,3355 10,2 10,2 95,2731 95,2221 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-23 9,3695 9,3645 10,21 10,21 95,662595 95,611545 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-26 9,3815 9,3765 10,22 10,22 95,87893 95,82783 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-27 9,3885 9,3835 10,22 10,22 95,95047 95,89937 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-28 9,3935 9,3885 10,22 10,22 96,00157 95,95047 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-29 9,3845 9,3795 10,23 10,23 96,003435 95,952285 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-09-30 9,3435 9,3385 10,23 10,23 95,584005 95,532855 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-03 9,3025 9,2975 10,24 10,24 95,2576 95,2064 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-04 9,3185 9,3135 10,24 10,24 95,42144 95,37024 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-05 9,3105 9,3055 10,23 10,23 95,246415 95,195265 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-06 9,3015 9,2965 10,22 10,22 95,06133 95,01023 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-07 9,3385 9,3335 10,23 10,23 95,532855 95,481705 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-10 9,3465 9,3415 10,23 10,23 95,614695 95,563545 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-11 9,3395 9,3345 10,23 10,23 95,543085 95,491935 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-12 9,3375 9,3325 10,22 10,22 95,42925 95,37815 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-13 9,3815 9,3765 10,22 10,22 95,87893 95,82783 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-14 9,4135 9,4085 10,22 10,22 96,20597 96,15487 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-17 9,4575 9,4525 10,23 10,23 96,750225 96,699075 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-18 9,4625 9,4575 10,23 10,23 96,801375 96,750225 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-19 9,4605 9,4555 10,22 10,22 96,68631 96,63521 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-20 9,4935 9,4885 10,21 10,21 96,928635 96,877585 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-21 9,4915 9,4865 10,21 10,21 96,908215 96,857165 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-24 9,5455 9,5405 10,22 10,22 97,55501 97,50391 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-25 9,5465 9,5415 10,23 10,23 97,660695 97,609545 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-26 9,4975 9,4925 10,23 10,23 97,159425 97,108275 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-27 9,5355 9,5305 10,22 10,22 97,45281 97,40171 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-28 9,5135 9,5085 10,22 10,22 97,22797 97,17687 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-10-31 9,5495 9,5445 10,22 10,22 97,59589 97,54479 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-02 9,5855 9,5805 10,23 10,23 98,059665 98,008515 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-03 9,6515 9,6465 10,24 10,24 98,83136 98,78016 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-04 9,5875 9,5825 10,23 10,23 98,080125 98,028975 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-07 9,6075 9,6025 10,24 10,24 98,3808 98,3296 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-08 9,5685 9,5635 10,23 10,23 97,885755 97,834605 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-09 9,5575 9,5525 10,19 10,19 97,390925 97,339975 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-10 9,6105 9,6055 10,18 10,18 97,83489 97,78399 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-11 9,6365 9,6315 10,23 10,23 98,581395 98,530245 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-14 9,5505 9,5455 10,23 10,23 97,701615 97,650465 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-15 9,5805 9,5755 10,22 10,22 97,91271 97,86161 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-16 9,6235 9,6185 10,21 10,21 98,255935 98,204885 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-17 9,6355 9,6305 10,21 10,21 98,378455 98,327405 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-18 9,6085 9,6035 10,21 10,21 98,102785 98,051735 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-21 9,5915 9,5865 10,22 10,22 98,02513 97,97403 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-22 9,5585 9,5535 10,21 10,21 97,592285 97,541235 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-23 9,5155 9,5105 10,22 10,22 97,24841 97,19731 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-24 9,5125 9,5075 10,21 10,21 97,122625 97,071575 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-25 9,4965 9,4915 10,21 10,21 96,959265 96,908215 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-28 9,4835 9,4785 10,2 10,2 96,7317 96,6807 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-29 9,4785 9,4735 10,2 10,2 96,6807 96,6297 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-11-30 9,5295 9,5245 10,2 10,2 97,2009 97,1499 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-01 9,5165 9,5115 10,2 10,2 97,0683 97,0173 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-02 9,4905 9,4855 10,21 10,21 96,898005 96,846955 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-05 9,4065 9,4015 10,21 10,21 96,040365 95,989315 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-06 9,4185 9,4135 10,21 10,21 96,162885 96,111835 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-07 9,4255 9,4205 10,22 10,22 96,32861 96,27751 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-08 9,3965 9,3915 10,21 10,21 95,938265 95,887215 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-12 9,4315 9,4265 10,22 10,22 96,38993 96,33883 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-13 9,4295 9,4245 10,22 10,22 96,36949 96,31839 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-14 9,4365 9,4315 10,22 10,22 96,44103 96,38993 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-15 9,4345 9,4295 10,23 10,23 96,514935 96,463785 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-16 9,4765 9,4715 10,22 10,22 96,84983 96,79873 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-19 9,4535 9,4485 10,22 10,22 96,61477 96,56367 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-20 9,4015 9,3965 10,22 10,22 96,08333 96,03223 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-21 9,4485 9,4435 10,23 10,23 96,658155 96,607005 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-22 9,4365 9,4315 10,23 10,23 96,535395 96,484245 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-23 9,4425 9,4375 10,22 10,22 96,50235 96,45125 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-27 9,4915 9,4865 10,22 10,22 97,00313 96,95203 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-28 9,4345 9,4295 10,21 10,21 96,326245 96,275195 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-29 9,4115 9,4065 10,21 10,21 96,091415 96,040365 906388 UBS AG UBS (Lux) Bond Fund - Absolute Return Bond (EUR) EUR 2005-12-30 9,4325 9,4275 10,21 10,21 96,305825 96,254775 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-03 5,84 5,834 621,79 621,79 3631,2536 3627,52286 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-04 5,847 5,841 624,06 624,06 3648,87882 3645,13446 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-05 5,8385 5,8325 625,28 625,28 3650,69728 3646,9456 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-07 5,8555 5,8495 628,11 628,11 3677,898105 3674,129445 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-10 5,8755 5,8695 627,55 627,55 3687,170025 3683,404725 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-11 5,8755 5,8695 628,34 628,34 3691,81167 3688,04163 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-12 5,8405 5,8345 628,07 628,07 3668,242835 3664,474415 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-13 5,8485 5,8425 631,4 631,4 3692,7429 3688,9545 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-14 5,836 5,83 633,23 633,23 3695,53028 3691,7309 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-17 5,862 5,856 633,49 633,49 3713,51838 3709,71744 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-18 5,857 5,851 633,68 633,68 3711,46376 3707,66168 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-19 5,847 5,841 633,04 633,04 3701,38488 3697,58664 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-20 5,859 5,853 633,28 633,28 3710,38752 3706,58784 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-21 5,8545 5,8485 634,19 634,19 3712,865355 3709,060215 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-24 5,8665 5,8605 633,82 633,82 3718,30503 3714,50211 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-25 5,8755 5,8695 634,19 634,19 3726,183345 3722,378205 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-26 5,8665 5,8605 633,76 633,76 3717,95304 3714,15048 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-27 5,8615 5,8555 632,66 632,66 3708,33659 3704,54063 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-28 5,8845 5,8785 634,47 634,47 3733,538715 3729,731895 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-01-31 5,876 5,87 634,67 634,67 3729,32092 3725,5129 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-01 5,8655 5,8595 636,53 636,53 3733,566715 3729,747535 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-02 5,8545 5,8485 636,14 636,14 3724,28163 3720,46479 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-03 5,828 5,822 638,02 638,02 3718,38056 3714,55244 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-04 5,8325 5,8265 641,69 641,69 3742,656925 3738,806785 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-07 5,828 5,822 643,56 643,56 3750,66768 3746,80632 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-08 5,823 5,817 642,1 642,1 3738,9483 3735,0957 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-09 5,825 5,819 641,18 641,18 3734,8735 3731,02642 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-10 5,8345 5,8285 638,99 638,99 3728,187155 3724,353215 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-11 5,848 5,842 637,83 637,83 3730,02984 3726,20286 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-14 5,8635 5,8575 636,56 636,56 3732,46956 3728,6502 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-15 5,8485 5,8425 634,88 634,88 3713,09568 3709,2864 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-16 5,864 5,858 631,36 631,36 3702,29504 3698,50688 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-17 5,8805 5,8745 629,51 629,51 3701,833555 3698,056495 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-18 5,884 5,878 626,06 626,06 3683,73704 3679,98068 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-21 5,907 5,901 625,48 625,48 3694,71036 3690,95748 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-22 5,9045 5,8985 622,33 622,33 3674,547485 3670,813505 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-23 5,9245 5,9185 621,32 621,32 3681,01034 3677,28242 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-24 5,8995 5,8935 621,37 621,37 3665,772315 3662,044095 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-25 5,8895 5,8835 622,73 622,73 3667,568335 3663,831955 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-02-28 5,8825 5,8765 620,29 620,29 3648,855925 3645,134185 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-01 5,8955 5,8895 621,03 621,03 3661,282365 3657,556185 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-02 5,9 5,894 622,43 622,43 3672,337 3668,60242 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-03 5,8745 5,8685 624,03 624,03 3665,864235 3662,120055 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-04 5,8395 5,8335 624,92 624,92 3649,22034 3645,47082 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-07 5,8425 5,8365 627,69 627,69 3667,278825 3663,512685 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-08 5,821 5,815 623,44 623,44 3629,04424 3625,3036 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-09 5,8295 5,8235 625,09 625,09 3643,962155 3640,211615 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-10 5,8525 5,8465 621,73 621,73 3638,674825 3634,944445 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-11 5,863 5,857 621,43 621,43 3643,44409 3639,71551 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-14 5,8525 5,8465 622,21 622,21 3641,484025 3637,750765 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-15 5,8725 5,8665 626,03 626,03 3676,361175 3672,604995 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-16 5,872 5,866 622,93 622,93 3657,84496 3654,10738 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-17 5,8875 5,8815 623,32 623,32 3669,7965 3666,05658 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-18 5,884 5,878 625,35 625,35 3679,5594 3675,8073 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-21 5,8845 5,8785 626,49 626,49 3686,580405 3682,821465 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-22 5,8835 5,8775 627,93 627,93 3694,426155 3690,658575 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-23 5,866 5,86 629,42 629,42 3692,17772 3688,4012 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-24 5,8705 5,8645 629,93 629,93 3698,004065 3694,224485 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-29 5,8865 5,8805 629,82 629,82 3707,43543 3703,65651 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-30 5,89 5,884 627,48 627,48 3695,8572 3692,09232 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-03-31 5,9005 5,8945 629,28 629,28 3713,06664 3709,29096 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-01 5,907 5,901 631,01 631,01 3727,37607 3723,59001 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-04 5,908 5,902 633,12 633,12 3740,47296 3736,67424 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-05 5,903 5,897 630,99 630,99 3724,73397 3720,94803 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-06 5,9165 5,9105 630,23 630,23 3728,755795 3724,974415 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-07 5,9045 5,8985 630,16 630,16 3720,77972 3716,99876 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-08 5,9055 5,8995 629,39 629,39 3716,862645 3713,086305 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-11 5,921 5,915 629,4 629,4 3726,6774 3722,901 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-12 5,9115 5,9055 631,09 631,09 3730,688535 3726,901995 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-13 5,912 5,906 633,31 633,31 3744,12872 3740,32886 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-14 5,91 5,904 635,31 635,31 3754,6821 3750,87024 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-15 5,9175 5,9115 633,84 633,84 3750,7482 3746,94516 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-18 5,9335 5,9275 630,48 630,48 3740,95308 3737,1702 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-19 5,954 5,948 630,98 630,98 3756,85492 3753,06904 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-20 5,9545 5,9485 629,8 629,8 3750,1441 3746,3653 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-21 5,9585 5,9525 628,07 628,07 3742,355095 3738,586675 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-22 5,9355 5,9295 632,11 632,11 3751,888905 3748,096245 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-25 5,9415 5,9355 634,91 634,91 3772,317765 3768,508305 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-26 5,922 5,916 633,95 633,95 3754,2519 3750,4482 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-27 5,9275 5,9215 634,51 634,51 3761,058025 3757,250965 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-28 5,9365 5,9305 635,28 635,28 3771,33972 3767,52804 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-04-29 5,967 5,961 636,52 636,52 3798,11484 3794,29572 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-02 5,9745 5,9685 639,48 639,48 3820,57326 3816,73638 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-03 5,9855 5,9795 639,26 639,26 3826,29073 3822,45517 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-04 5,9595 5,9535 638,35 638,35 3804,246825 3800,416725 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-06 5,9265 5,9205 641,43 641,43 3801,434895 3797,586315 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-09 5,936 5,93 640,35 640,35 3801,1176 3797,2755 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-10 5,948 5,942 640,28 640,28 3808,38544 3804,54376 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-11 5,9655 5,9595 641,49 641,49 3826,808595 3822,959655 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-12 5,975 5,969 641,73 641,73 3834,33675 3830,48637 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-13 5,963 5,957 642,73 642,73 3832,59899 3828,74261 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-17 5,9795 5,9735 641,62 641,62 3836,56679 3832,71707 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-18 5,9705 5,9645 642,46 642,46 3835,80743 3831,95267 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-19 5,9545 5,9485 642,23 642,23 3824,158535 3820,305155 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-20 5,95 5,944 644,09 644,09 3832,3355 3828,47096 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-23 5,9335 5,9275 644,63 644,63 3824,912105 3821,044325 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-24 5,9355 5,9295 645,55 645,55 3831,662025 3827,788725 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-25 5,9365 5,9305 644,54 644,54 3826,31171 3822,44447 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-26 5,9505 5,9445 645,21 645,21 3839,322105 3835,450845 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-27 5,9435 5,9375 644,96 644,96 3833,31976 3829,45 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-30 5,948 5,942 645,6 645,6 3840,0288 3836,1552 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-05-31 5,9405 5,9345 647,39 647,39 3845,820295 3841,935955 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-01 5,9545 5,9485 648,52 648,52 3861,61234 3857,72122 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-02 5,9725 5,9665 648,79 648,79 3874,898275 3871,005535 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-03 5,952 5,946 650,09 650,09 3869,33568 3865,43514 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-07 5,9765 5,9705 652,53 652,53 3899,845545 3895,930365 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-08 5,972 5,966 653,15 653,15 3900,6118 3896,6929 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-09 6 5,994 653,49 653,49 3920,94 3917,01906 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-10 6,0005 5,9945 654,47 654,47 3927,147235 3923,220415 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-13 6,0095 6,0035 653,51 653,51 3927,268345 3923,347285 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-14 6,0395 6,0335 653,94 653,94 3949,47063 3945,54699 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-15 6,0305 6,0245 650,76 650,76 3924,40818 3920,50362 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-16 6,0275 6,0215 652,02 652,02 3930,05055 3926,13843 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-17 6,018 6,012 651,15 651,15 3918,6207 3914,7138 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-20 5,9755 5,9695 652,57 652,57 3899,432035 3895,516615 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-21 6,0145 6,0085 655,15 655,15 3940,399675 3936,468775 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-22 6,0125 6,0065 656,34 656,34 3946,24425 3942,30621 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-27 6,088 6,082 656,48 656,48 3996,65024 3992,71136 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-28 6,088 6,082 656,91 656,91 3999,26808 3995,32662 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-29 6,1025 6,0965 656,29 656,29 4005,009725 4001,071985 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-06-30 6,0985 6,0925 657,45 657,45 4009,458825 4005,514125 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-01 6,088 6,082 657,6 657,6 4003,4688 3999,5232 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-04 6,1215 6,1155 658,19 658,19 4029,110085 4025,160945 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-05 6,1015 6,0955 657,56 657,56 4012,10234 4008,15698 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-06 6,065 6,059 657,45 657,45 3987,43425 3983,48955 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-07 6,0495 6,0435 655,37 655,37 3964,660815 3960,728595 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-08 6,0695 6,0635 657,84 657,84 3992,75988 3988,81284 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-11 6,0875 6,0815 654,39 654,39 3983,599125 3979,672785 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-12 6,0845 6,0785 653,95 653,95 3978,958775 3975,035075 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-13 6,0295 6,0235 654,45 654,45 3946,006275 3942,079575 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-14 6,018 6,012 653,82 653,82 3934,68876 3930,76584 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-15 6,0335 6,0275 654,87 654,87 3951,158145 3947,228925 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-18 6,0195 6,0135 656,21 656,21 3950,056095 3946,118835 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-19 6,041 6,035 656,75 656,75 3967,42675 3963,48625 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-20 6,0265 6,0205 653,71 653,71 3939,583315 3935,661055 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-21 6,0565 6,0505 656,7 656,7 3977,30355 3973,36335 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-22 6,0435 6,0375 658,85 658,85 3981,759975 3977,806875 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-25 6,034 6,028 658,82 658,82 3975,31988 3971,36696 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-26 6,033 6,027 657,19 657,19 3964,82727 3960,88413 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-27 6,0625 6,0565 656,94 656,94 3982,69875 3978,75711 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-28 6,043 6,037 654,98 654,98 3958,04414 3954,11426 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-07-29 6,0195 6,0135 654,06 654,06 3937,11417 3933,18981 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-01 6,0205 6,0145 650,51 650,51 3916,395455 3912,492395 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-02 6,0355 6,0295 650,67 650,67 3927,118785 3923,214765 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-03 6,0235 6,0175 648,93 648,93 3908,829855 3904,936275 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-04 6,0225 6,0165 647,76 647,76 3901,1346 3897,24804 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-05 5,9925 5,9865 647,11 647,11 3877,806675 3873,924015 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-08 5,9815 5,9755 646,32 646,32 3865,96308 3862,08516 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-09 6,0055 5,9995 645,38 645,38 3875,82959 3871,95731 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-10 6,009 6,003 647,17 647,17 3888,84453 3884,96151 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-11 6,007 6,001 646,41 646,41 3882,98487 3879,10641 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-12 5,991 5,985 648,33 648,33 3884,14503 3880,25505 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-16 5,9945 5,9885 652,47 652,47 3911,231415 3907,316595 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-17 6,026 6,02 650,87 650,87 3922,14262 3918,2374 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-18 6,04 6,034 652,74 652,74 3942,5496 3938,63316 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-19 6,0375 6,0315 653,3 653,3 3944,29875 3940,37895 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-22 6,0385 6,0325 654,32 654,32 3951,11132 3947,1854 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-23 6,0305 6,0245 655,75 655,75 3954,500375 3950,565875 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-24 6,0035 5,9975 653,81 653,81 3925,148335 3921,225475 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-25 6,025 6,019 651,8 651,8 3927,095 3923,1842 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-26 6,044 6,038 650,71 650,71 3932,89124 3928,98698 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-29 6,0375 6,0315 651,18 651,18 3931,49925 3927,59217 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-30 6,021 6,015 653,38 653,38 3934,00098 3930,0807 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-08-31 6,041 6,035 651,81 651,81 3937,58421 3933,67335 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-01 6,036 6,03 650,15 650,15 3924,3054 3920,4045 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-02 6,036 6,03 648,33 648,33 3913,31988 3909,4299 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-05 6,024 6,018 651,3 651,3 3923,4312 3919,5234 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-06 6,042 6,036 649,81 649,81 3926,15202 3922,25316 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-07 6,0325 6,0265 649,4 649,4 3917,5055 3913,6091 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-08 6,048 6,042 649,92 649,92 3930,71616 3926,81664 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-09 6,0625 6,0565 652,21 652,21 3954,023125 3950,109865 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-12 6,024 6,018 652,74 652,74 3932,10576 3928,18932 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-13 6,02 6,014 653,4 653,4 3933,468 3929,5476 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-14 6,0365 6,0305 652,96 652,96 3941,59304 3937,67528 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-15 6,0485 6,0425 654,87 654,87 3960,981195 3957,051975 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-16 6,028 6,022 654,7 654,7 3946,5316 3942,6034 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-19 6,024 6,018 656,79 656,79 3956,50296 3952,56222 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-20 6,0185 6,0125 657,08 657,08 3954,63598 3950,6935 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-21 6,022 6,016 656,99 656,99 3956,39378 3952,45184 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-22 6,018 6,012 658,29 658,29 3961,58922 3957,63948 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-23 6,03 6,024 658,69 658,69 3971,9007 3967,94856 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-26 6,028 6,022 657,59 657,59 3963,95252 3960,00698 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-27 6,032 6,026 656,31 656,31 3958,86192 3954,92406 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-28 6,0405 6,0345 655,44 655,44 3959,18532 3955,25268 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-29 6,028 6,022 655,82 655,82 3953,28296 3949,34804 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-09-30 6,0005 5,9945 653,17 653,17 3919,346585 3915,427565 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-03 5,9875 5,9815 652,94 652,94 3909,47825 3905,56061 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-04 6,0075 6,0015 652,31 652,31 3918,752325 3914,838465 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-05 6,004 5,998 651,82 651,82 3913,52728 3909,61636 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-06 6,015 6,009 647,49 647,49 3894,65235 3890,76741 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-07 6,0285 6,0225 648,23 648,23 3907,854555 3903,965175 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-10 6,0325 6,0265 648,94 648,94 3914,73055 3910,83691 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-11 6,0365 6,0305 648,03 648,03 3911,833095 3907,944915 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-12 6,0345 6,0285 646,54 646,54 3901,54563 3897,66639 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-13 6,062 6,056 647,1 647,1 3922,7202 3918,8376 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-14 6,075 6,069 645,46 645,46 3921,1695 3917,29674 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-17 6,1005 6,0945 646,28 646,28 3942,63114 3938,75346 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-18 6,088 6,082 647,52 647,52 3942,10176 3938,21664 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-19 6,0955 6,0895 647,19 647,19 3944,946645 3941,063505 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-20 6,1155 6,1095 645,1 645,1 3945,10905 3941,23845 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-21 6,1385 6,1325 643,66 643,66 3951,10691 3947,24495 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-24 6,185 6,179 644,14 644,14 3984,0059 3980,14106 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-25 6,1845 6,1785 641,96 641,96 3970,20162 3966,34986 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-26 6,1495 6,1435 640,16 640,16 3936,66392 3932,82296 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-27 6,162 6,156 639,42 639,42 3940,10604 3936,26952 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-28 6,1555 6,1495 638,36 638,36 3929,42498 3925,59482 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-10-31 6,1805 6,1745 640,5 640,5 3958,61025 3954,76725 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-02 6,1995 6,1935 634,25 634,25 3932,032875 3928,227375 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-03 6,2555 6,2495 634,97 634,97 3972,054835 3968,245015 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-04 6,213 6,207 636,29 636,29 3953,26977 3949,45203 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-07 6,2235 6,2175 636,86 636,86 3963,49821 3959,67705 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-08 6,2045 6,1985 639,59 639,59 3968,336155 3964,498615 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-09 6,1965 6,1905 638,54 638,54 3956,71311 3952,88187 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-10 6,237 6,231 636,14 636,14 3967,60518 3963,78834 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-11 6,2725 6,2665 637,51 637,51 3998,781475 3994,956415 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-14 6,207 6,201 636,86 636,86 3952,99002 3949,16886 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-15 6,2165 6,2105 639,59 639,59 3976,011235 3972,173695 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-16 6,2315 6,2255 642,51 642,51 4003,801065 3999,946005 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-17 6,231 6,225 641,86 641,86 3999,42966 3995,5785 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-18 6,206 6,2 639,08 639,08 3966,13048 3962,296 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-21 6,1925 6,1865 641,01 641,01 3969,454425 3965,608365 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-22 6,1795 6,1735 641,11 641,11 3961,739245 3957,892585 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-23 6,143 6,137 641,82 641,82 3942,70026 3938,84934 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-24 6,1375 6,1315 643,61 643,61 3950,156375 3946,294715 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-25 6,1255 6,1195 641,91 641,91 3932,019705 3928,168245 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-28 6,133 6,127 641,23 641,23 3932,66359 3928,81621 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-29 6,1265 6,1205 640,53 640,53 3924,207045 3920,363865 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-11-30 6,1535 6,1475 641,1 641,1 3945,00885 3941,16225 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-01 6,1535 6,1475 641,49 641,49 3947,408715 3943,559775 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-02 6,1445 6,1385 640,21 640,21 3933,770345 3929,929085 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-05 6,0915 6,0855 636,92 636,92 3879,79818 3875,97666 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-06 6,1145 6,1085 636,25 636,25 3890,350625 3886,533125 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-07 6,119 6,113 636,98 636,98 3897,68062 3893,85874 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-08 6,108 6,102 635,86 635,86 3883,83288 3880,01772 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-12 6,132 6,126 634,35 634,35 3889,8342 3886,0281 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-13 6,1175 6,1115 636,28 636,28 3892,4429 3888,62522 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-14 6,113 6,107 638,75 638,75 3904,67875 3900,84625 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-15 6,1225 6,1165 641,42 641,42 3927,09395 3923,24543 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-16 6,1425 6,1365 645,16 645,16 3962,8953 3959,02434 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-19 6,0955 6,0895 646,25 646,25 3939,216875 3935,339375 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-20 6,0575 6,0515 647,69 647,69 3923,382175 3919,496035 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-21 6,088 6,082 647,13 647,13 3939,72744 3935,84466 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-22 6,0705 6,0645 649,03 649,03 3939,936615 3936,042435 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-23 6,0645 6,0585 650,42 650,42 3944,47209 3940,56957 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-27 6,0995 6,0935 649,64 649,64 3962,47918 3958,58134 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-28 6,0585 6,0525 649,29 649,29 3933,723465 3929,827725 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-29 6,0405 6,0345 648,94 648,94 3919,92207 3916,02843 292490 UBS AG UBS (Lux) Bond Fund - Global (CHF) CHF 2005-12-30 6,061 6,055 649,15 649,15 3934,49815 3930,60325 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-03 9,0065 9,0015 347,71 347,71 3131,650115 3129,911565 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-04 9,0345 9,0295 347,73 347,73 3141,566685 3139,828035 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-05 9,0615 9,0565 348,49 348,49 3157,842135 3156,099685 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-07 9,0615 9,0565 350,36 350,36 3174,78714 3173,03534 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-10 9,08619 9,08119 350,59 350,59 3185,5273521 3183,7744021 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-11 9,08619 9,08119 350,82 350,82 3187,6171758 3185,8630758 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-12 9,0455 9,0405 351,17 351,17 3176,508235 3174,752385 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-13 9,0505 9,0455 352,57 352,57 3190,934785 3189,171935 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-14 9,0455 9,0405 353,35 353,35 3196,227425 3194,460675 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-17 9,0685 9,0635 354,24 354,24 3212,42544 3210,65424 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-18 9,0585 9,0535 354,5 354,5 3211,23825 3209,46575 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-19 9,0225 9,0175 354,85 354,85 3201,634125 3199,859875 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-20 9,0315 9,0265 354,46 354,46 3201,30549 3199,53319 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-21 9,0505 9,0455 353,95 353,95 3203,424475 3201,654725 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-24 9,0655 9,0605 354,37 354,37 3212,541235 3210,769385 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-25 9,0715 9,0665 353,79 353,79 3209,405985 3207,637035 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-26 9,0885 9,0835 353,82 353,82 3215,69307 3213,92397 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-27 9,0675 9,0625 353,57 353,57 3205,995975 3204,228125 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-28 9,0955 9,0905 354,11 354,11 3220,807505 3219,036955 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-01-31 9,1075 9,1025 353,95 353,95 3223,599625 3221,829875 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-01 9,1035 9,0985 353,86 353,86 3221,36451 3219,59521 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-02 9,0905 9,0855 353,74 353,74 3215,67347 3213,90477 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-03 9,0695 9,0645 353,54 353,54 3206,43103 3204,66333 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-04 9,0895 9,0845 355,67 355,67 3232,862465 3231,084115 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-07 9,0755 9,0705 356,28 356,28 3233,41914 3231,63774 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-08 9,0895 9,0845 355,62 355,62 3232,40799 3230,62989 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-09 9,0695 9,0645 355,65 355,65 3225,567675 3223,789425 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-10 9,0805 9,0755 354,52 354,52 3219,21886 3217,44626 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-11 9,0935 9,0885 354,3 354,3 3221,82705 3220,05555 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-14 9,1105 9,1055 353,75 353,75 3222,839375 3221,070625 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-15 9,0765 9,0715 353,79 353,79 3211,174935 3209,405985 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-16 9,0705 9,0655 352,33 352,33 3195,809265 3194,047615 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-17 9,0925 9,0875 351,4 351,4 3195,1045 3193,3475 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-18 9,0945 9,0895 349,97 349,97 3182,802165 3181,052315 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-21 9,1185 9,1135 349,79 349,79 3189,560115 3187,811165 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-22 9,0975 9,0925 349,57 349,57 3180,213075 3178,465225 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-23 9,1045 9,0995 348,82 348,82 3175,83169 3174,08759 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-24 9,0715 9,0665 348 348 3156,882 3155,142 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-25 9,0845 9,0795 348,69 348,69 3167,674305 3165,930855 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-02-28 9,0505 9,0455 348,67 348,67 3155,637835 3153,894485 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-01 9,0565 9,0515 349,09 349,09 3161,533585 3159,788135 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-02 9,0645 9,0595 348,83 348,83 3161,969535 3160,225385 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-03 9,0675 9,0625 348,64 348,64 3161,2932 3159,55 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-04 9,0415 9,0365 349,16 349,16 3156,93014 3155,18434 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-07 9,0425 9,0375 349,29 349,29 3158,454825 3156,708375 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-08 9,0345 9,0295 347,99 347,99 3143,915655 3142,175705 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-09 9,0365 9,0315 347,68 347,68 3141,81032 3140,07192 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-10 9,0655 9,0605 346,91 346,91 3144,912605 3143,178055 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-11 9,0795 9,0745 346,56 346,56 3146,59152 3144,85872 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-14 9,0695 9,0645 346,43 346,43 3141,946885 3140,214735 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-15 9,1035 9,0985 348,57 348,57 3173,206995 3171,464145 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-16 9,0975 9,0925 348,08 348,08 3166,6578 3164,9174 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-17 9,1045 9,0995 348,25 348,25 3170,642125 3168,900875 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-18 9,1035 9,0985 348,44 348,44 3172,02354 3170,28134 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-21 9,1265 9,1215 348,94 348,94 3184,60091 3182,85621 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-22 9,1265 9,1215 349,39 349,39 3188,707835 3186,960885 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-23 9,1165 9,1115 349,85 349,85 3189,407525 3187,658275 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-24 9,1135 9,1085 350,16 350,16 3191,18316 3189,43236 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-29 9,1315 9,1265 350,07 350,07 3196,664205 3194,913855 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-30 9,1425 9,1375 350,07 350,07 3200,514975 3198,764625 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-03-31 9,1405 9,1355 351,03 351,03 3208,589715 3206,834565 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-01 9,1645 9,1595 351,12 351,12 3217,83924 3216,08364 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-04 9,1695 9,1645 351,93 351,93 3227,022135 3225,262485 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-05 9,1745 9,1695 351,39 351,39 3223,827555 3222,070605 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-06 9,1705 9,1655 351,01 351,01 3218,937205 3217,182155 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-07 9,1505 9,1455 351,14 351,14 3213,10657 3211,35087 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-08 9,1625 9,1575 351,13 351,13 3217,228625 3215,472975 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-11 9,1705 9,1655 351,08 351,08 3219,57914 3217,82374 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-12 9,1525 9,1475 351,72 351,72 3219,1173 3217,3587 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-13 9,1495 9,1445 352,89 352,89 3228,767055 3227,002605 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-14 9,1685 9,1635 352,85 352,85 3235,105225 3233,340975 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-15 9,1925 9,1875 352,82 352,82 3243,29785 3241,53375 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-18 9,1805 9,1755 352,44 352,44 3235,57542 3233,81322 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-19 9,2035 9,1985 353,06 353,06 3249,38771 3247,62241 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-20 9,1915 9,1865 352,87 352,87 3243,404605 3241,640255 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-21 9,1855 9,1805 351,79 351,79 3231,367045 3229,608095 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-22 9,1625 9,1575 353,65 353,65 3240,318125 3238,549875 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-25 9,1685 9,1635 355,4 355,4 3258,4849 3256,7079 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-26 9,1375 9,1325 355,14 355,14 3245,09175 3243,31605 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-27 9,1465 9,1415 355,68 355,68 3253,22712 3251,44872 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-28 9,1505 9,1455 356,54 356,54 3262,51927 3260,73657 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-04-29 9,1705 9,1655 357,73 357,73 3280,562965 3278,774315 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-02 9,1935 9,1885 358,18 358,18 3292,92783 3291,13693 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-03 9,2245 9,2195 357,87 357,87 3301,171815 3299,382465 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-04 9,1915 9,1865 357,68 357,68 3287,61572 3285,82732 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-06 9,1715 9,1665 357,97 357,97 3283,121855 3281,332005 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-09 9,1815 9,1765 357,5 357,5 3282,38625 3280,59875 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-10 9,1985 9,1935 357,71 357,71 3290,395435 3288,606885 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-11 9,2105 9,2055 358,81 358,81 3304,819505 3303,025455 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-12 9,2315 9,2265 358,84 358,84 3312,63146 3310,83726 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-13 9,2045 9,1995 359,41 359,41 3308,189345 3306,392295 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-17 9,2325 9,2275 359,29 359,29 3317,144925 3315,348475 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-18 9,2095 9,2045 359,63 359,63 3312,012485 3310,214335 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-19 9,1905 9,1855 359,19 359,19 3301,135695 3299,339745 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-20 9,1955 9,1905 359,15 359,15 3302,563825 3300,768075 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-23 9,1805 9,1755 359,8 359,8 3303,1439 3301,3449 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-24 9,1815 9,1765 360,55 360,55 3310,389825 3308,587075 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-25 9,1785 9,1735 360,24 360,24 3306,46284 3304,66164 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-26 9,1945 9,1895 360,28 360,28 3312,59446 3310,79306 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-27 9,1955 9,1905 359,87 359,87 3309,184585 3307,385235 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-30 9,1905 9,1855 360,98 360,98 3317,58669 3315,78179 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-05-31 9,1665 9,1615 363,78 363,78 3334,58937 3332,77047 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-01 9,1455 9,1405 365,16 365,16 3339,57078 3337,74498 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-02 9,1565 9,1515 365,1 365,1 3343,03815 3341,21265 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-03 9,1315 9,1265 365,93 365,93 3341,489795 3339,660145 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-07 9,1455 9,1405 368,23 368,23 3367,647465 3365,806315 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-08 9,1455 9,1405 367,76 367,76 3363,34908 3361,51028 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-09 9,1965 9,1915 368,18 368,18 3385,96737 3384,12647 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-10 9,1975 9,1925 368,01 368,01 3384,771975 3382,931925 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-13 9,2365 9,2315 367,12 367,12 3390,90388 3389,06828 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-14 9,2985 9,2935 367,17 367,17 3414,130245 3412,294395 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-15 9,2695 9,2645 365,25 365,25 3385,684875 3383,858625 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-16 9,2695 9,2645 365,65 365,65 3389,392675 3387,564425 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-17 9,2695 9,2645 364,22 364,22 3376,13729 3374,31619 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-20 9,2255 9,2205 365,03 365,03 3367,584265 3365,759115 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-21 9,2725 9,2675 367,17 367,17 3404,583825 3402,747975 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-22 9,2615 9,2565 367,75 367,75 3405,916625 3404,077875 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-27 9,3855 9,3805 367,62 367,62 3450,29751 3448,45941 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-28 9,3995 9,3945 367,32 367,32 3452,62434 3450,78774 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-29 9,4215 9,4165 366,72 366,72 3455,05248 3453,21888 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-06-30 9,4415 9,4365 366,2 366,2 3457,4773 3455,6463 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-01 9,4595 9,4545 366,32 366,32 3465,20404 3463,37244 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-04 9,4795 9,4745 366,79 366,79 3476,985805 3475,151855 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-05 9,4575 9,4525 365,96 365,96 3461,0667 3459,2369 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-06 9,4195 9,4145 365,62 365,62 3443,95759 3442,12949 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-07 9,3965 9,3915 365,7 365,7 3436,30005 3434,47155 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-08 9,4175 9,4125 365,8 365,8 3444,9215 3443,0925 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-11 9,4665 9,4615 363,67 363,67 3442,682055 3440,863705 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-12 9,4645 9,4595 363,2 363,2 3437,5064 3435,6904 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-13 9,3915 9,3865 362,77 362,77 3406,954455 3405,140605 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-14 9,3675 9,3625 362,24 362,24 3393,2832 3391,472 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-15 9,4055 9,4005 362,82 362,82 3412,50351 3410,68941 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-18 9,3895 9,3845 363,47 363,47 3412,801565 3410,984215 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-19 9,4425 9,4375 362,73 362,73 3425,078025 3423,264375 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-20 9,4265 9,4215 361,33 361,33 3406,077245 3404,270595 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-21 9,4625 9,4575 363,31 363,31 3437,820875 3436,004325 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-22 9,4495 9,4445 364,08 364,08 3440,37396 3438,55356 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-25 9,4275 9,4225 364,14 364,14 3432,92985 3431,10915 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-26 9,4155 9,4105 363,57 363,57 3423,193335 3421,375485 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-27 9,4725 9,4675 363,18 363,18 3440,22255 3438,40665 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-28 9,4515 9,4465 362,57 362,57 3426,830355 3425,017505 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-07-29 9,3885 9,3835 362,03 362,03 3398,918655 3397,108505 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-01 9,3985 9,3935 360,65 360,65 3389,569025 3387,765775 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-02 9,3995 9,3945 361,12 361,12 3394,34744 3392,54184 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-03 9,3755 9,3705 360,06 360,06 3375,74253 3373,94223 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-04 9,3735 9,3685 359,16 359,16 3366,58626 3364,79046 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-05 9,3355 9,3305 358,06 358,06 3342,66913 3340,87883 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-08 9,3335 9,3285 358,27 358,27 3343,913045 3342,121695 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-09 9,3455 9,3405 358,1 358,1 3346,62355 3344,83305 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-10 9,3535 9,3485 359,39 359,39 3361,554365 3359,757415 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-11 9,3365 9,3315 359,55 359,55 3356,938575 3355,140825 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-12 9,3025 9,2975 361,34 361,34 3361,36535 3359,55865 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-16 9,2995 9,2945 363,53 363,53 3380,647235 3378,829585 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-17 9,3405 9,3355 363,55 363,55 3395,738775 3393,921025 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-18 9,3365 9,3315 364,55 364,55 3403,621075 3401,798325 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-19 9,3395 9,3345 364,68 364,68 3405,92886 3404,10546 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-22 9,3655 9,3605 364,59 364,59 3414,567645 3412,744695 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-23 9,3715 9,3665 364,96 364,96 3420,22264 3418,39784 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-24 9,3365 9,3315 364,21 364,21 3400,446665 3398,625615 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-25 9,3335 9,3285 364,45 364,45 3401,594075 3399,771825 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-26 9,3415 9,3365 364,19 364,19 3402,080885 3400,259935 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-29 9,3295 9,3245 364,11 364,11 3396,964245 3395,143695 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-30 9,3285 9,3235 364,23 364,23 3397,719555 3395,898405 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-08-31 9,3585 9,3535 364,17 364,17 3408,084945 3406,264095 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-01 9,3365 9,3315 364,07 364,07 3399,139555 3397,319205 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-02 9,3025 9,2975 363,73 363,73 3383,598325 3381,779675 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-05 9,2845 9,2795 364,65 364,65 3385,592925 3383,769675 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-06 9,3225 9,3175 364,08 364,08 3394,1358 3392,3154 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-07 9,3075 9,3025 363,84 363,84 3386,4408 3384,6216 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-08 9,3255 9,3205 364,16 364,16 3395,97408 3394,15328 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-09 9,3445 9,3395 365,18 365,18 3412,42451 3410,59861 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-12 9,3015 9,2965 365,42 365,42 3398,95413 3397,12703 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-13 9,3015 9,2965 364,92 364,92 3394,30338 3392,47878 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-14 9,3365 9,3315 365,37 365,37 3411,277005 3409,450155 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-15 9,3425 9,3375 365,59 365,59 3415,524575 3413,696625 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-16 9,3465 9,3415 364,59 364,59 3407,640435 3405,817485 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-19 9,3355 9,3305 365,81 365,81 3415,019255 3413,190205 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-20 9,3395 9,3345 365,39 365,39 3412,559905 3410,732955 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-21 9,3405 9,3355 365,79 365,79 3416,661495 3414,832545 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-22 9,3405 9,3355 366,25 366,25 3420,958125 3419,126875 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-23 9,3695 9,3645 365,88 365,88 3428,11266 3426,28326 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-26 9,3815 9,3765 365,12 365,12 3425,37328 3423,54768 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-27 9,3885 9,3835 364,24 364,24 3419,66724 3417,84604 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-28 9,3935 9,3885 363,89 363,89 3418,200715 3416,381265 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-29 9,3845 9,3795 363,81 363,81 3414,174945 3412,355895 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-09-30 9,3435 9,3385 363,22 363,22 3393,74607 3391,92997 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-03 9,3025 9,2975 363,54 363,54 3381,83085 3380,01315 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-04 9,3185 9,3135 363,18 363,18 3384,29283 3382,47693 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-05 9,3105 9,3055 363,64 363,64 3385,67022 3383,85202 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-06 9,3015 9,2965 361,7 361,7 3364,35255 3362,54405 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-07 9,3385 9,3335 361,44 361,44 3375,30744 3373,50024 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-10 9,3465 9,3415 362,04 362,04 3383,80686 3381,99666 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-11 9,3395 9,3345 361,98 361,98 3380,71221 3378,90231 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-12 9,3375 9,3325 361,2 361,2 3372,705 3370,899 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-13 9,3815 9,3765 360,83 360,83 3385,126645 3383,322495 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-14 9,4135 9,4085 359,78 359,78 3386,78903 3384,99013 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-17 9,4575 9,4525 359,45 359,45 3399,498375 3397,701125 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-18 9,4625 9,4575 359,88 359,88 3405,3645 3403,5651 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-19 9,4605 9,4555 360,3 360,3 3408,61815 3406,81665 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-20 9,4935 9,4885 359,98 359,98 3417,47013 3415,67023 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-21 9,4915 9,4865 360,03 360,03 3417,224745 3415,424595 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-24 9,5455 9,5405 360,71 360,71 3443,157305 3441,353755 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-25 9,5465 9,5415 359,09 359,09 3428,052685 3426,257235 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-26 9,4975 9,4925 357,33 357,33 3393,741675 3391,955025 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-27 9,5355 9,5305 356,96 356,96 3403,79208 3402,00728 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-28 9,5135 9,5085 357,02 357,02 3396,50977 3394,72467 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-10-31 9,5495 9,5445 357,85 357,85 3417,288575 3415,499325 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-02 9,5855 9,5805 355,18 355,18 3404,57789 3402,80199 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-03 9,6515 9,6465 355,5 355,5 3431,10825 3429,33075 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-04 9,5875 9,5825 356,09 356,09 3414,012875 3412,232425 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-07 9,6075 9,6025 356,61 356,61 3426,130575 3424,347525 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-08 9,5685 9,5635 358,3 358,3 3428,39355 3426,60205 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-09 9,5575 9,5525 357,78 357,78 3419,48235 3417,69345 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-10 9,6105 9,6055 357,23 357,23 3433,158915 3431,372765 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-11 9,6365 9,6315 358,03 358,03 3450,156095 3448,365945 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-14 9,5505 9,5455 357,09 357,09 3410,388045 3408,602595 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-15 9,5805 9,5755 357,86 357,86 3428,47773 3426,68843 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-16 9,6235 9,6185 358,71 358,71 3452,045685 3450,252135 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-17 9,6355 9,6305 358,4 358,4 3453,3632 3451,5712 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-18 9,6085 9,6035 356,82 356,82 3428,50497 3426,72087 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-21 9,5915 9,5865 357,91 357,91 3432,893765 3431,104215 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-22 9,5585 9,5535 357,81 357,81 3420,126885 3418,337835 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-23 9,5155 9,5105 357,6 357,6 3402,7428 3400,9548 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-24 9,5125 9,5075 358,71 358,71 3412,228875 3410,435325 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-25 9,4965 9,4915 358,43 358,43 3403,830495 3402,038345 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-28 9,4835 9,4785 358,15 358,15 3396,515525 3394,724775 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-29 9,4785 9,4735 357,42 357,42 3387,80547 3386,01837 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-11-30 9,5295 9,5245 357,33 357,33 3405,176235 3403,389585 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-01 9,5165 9,5115 358,15 358,15 3408,334475 3406,543725 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-02 9,4905 9,4855 358,29 358,29 3400,351245 3398,559795 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-05 9,4065 9,4015 356,71 356,71 3355,392615 3353,609065 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-06 9,4185 9,4135 357,2 357,2 3364,2882 3362,5022 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-07 9,4255 9,4205 357,57 357,57 3370,276035 3368,488185 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-08 9,3965 9,3915 357,18 357,18 3356,24187 3354,45597 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-12 9,4315 9,4265 355,5 355,5 3352,89825 3351,12075 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-13 9,4295 9,4245 355,91 355,91 3356,053345 3354,273795 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-14 9,4365 9,4315 358,23 358,23 3380,437395 3378,646245 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-15 9,4345 9,4295 359,46 359,46 3391,32537 3389,52807 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-16 9,4765 9,4715 360 360 3411,54 3409,74 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-19 9,4535 9,4485 359,91 359,91 3402,409185 3400,609635 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-20 9,4015 9,3965 360,23 360,23 3386,702345 3384,901195 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-21 9,4485 9,4435 359,79 359,79 3399,475815 3397,676865 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-22 9,4365 9,4315 360,2 360,2 3399,0273 3397,2263 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-23 9,4425 9,4375 360,76 360,76 3406,4763 3404,6725 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-27 9,4915 9,4865 360,14 360,14 3418,26881 3416,46811 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-28 9,4345 9,4295 359,65 359,65 3393,117925 3391,319675 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-29 9,4115 9,4065 359,89 359,89 3387,104735 3385,305285 328328 UBS AG UBS (Lux) Bond Fund - Global (EUR) EUR 2005-12-30 9,4325 9,4275 360,74 360,74 3402,68005 3400,87635 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-03 6,668 6,658 142,76 142,76 951,92368 950,49608 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-04 6,728 6,718 139,49 139,49 938,48872 937,09382 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-05 6,828 6,818 138,32 138,32 944,44896 943,06576 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-07 6,87 6,86 140,23 140,23 963,3801 961,9778 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-10 6,96091 6,95091 141,79 141,79 986,9874289 985,5695289 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-11 6,96091 6,95091 139,23 139,23 969,1674993 967,7751993 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-12 6,913 6,903 140,21 140,21 969,27173 967,86963 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-13 6,843 6,833 137,74 137,74 942,55482 941,17742 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-14 6,915 6,905 138,73 138,73 959,31795 957,93065 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-18 6,968 6,958 140,37 140,37 978,09816 976,69446 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-19 6,91 6,9 138,64 138,64 958,0024 956,616 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-20 6,96 6,95 137,44 137,44 956,5824 955,208 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-21 6,978 6,968 136,68 136,68 953,75304 952,38624 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-24 6,933 6,923 133,98 133,98 928,88334 927,54354 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-25 6,95 6,94 134,33 134,33 933,5935 932,2502 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-26 6,995 6,985 137,13 137,13 959,22435 957,85305 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-27 6,93 6,92 136,55 136,55 946,2915 944,926 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-28 6,985 6,975 135,03 135,03 943,18455 941,83425 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-01-31 6,998 6,988 136,9 136,9 958,0262 956,6572 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-01 6,993 6,983 137,66 137,66 962,65638 961,27978 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-02 6,953 6,943 137,43 137,43 955,55079 954,17649 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-03 6,968 6,958 136,79 136,79 953,15272 951,78482 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-04 7,01 7 140,11 140,11 982,1711 980,77 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-07 7,065 7,055 139,71 139,71 987,05115 985,65405 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-08 7,123 7,113 138,86 138,86 989,09978 987,71118 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-09 7,1 7,09 133,68 133,68 949,128 947,7912 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-10 7,088 7,078 133,01 133,01 942,77488 941,44478 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-11 7,068 7,058 135,28 135,28 956,15904 954,80624 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-14 7,03 7,02 135,05 135,05 949,4015 948,051 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-15 7,005 6,995 134,96 134,96 945,3948 944,0452 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-16 6,973 6,963 134,76 134,76 939,68148 938,33388 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-17 6,97 6,96 133,84 133,84 932,8648 931,5264 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-18 6,965 6,955 133,52 133,52 929,9668 928,6316 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-22 6,905 6,895 131,22 131,22 906,0741 904,7619 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-23 6,895 6,885 131,89 131,89 909,38155 908,06265 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-24 6,858 6,848 132,99 132,99 912,04542 910,71552 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-25 6,885 6,875 134,78 134,78 927,9603 926,6125 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-02-28 6,828 6,818 128,49 128,49 877,32972 876,04482 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-01 6,87 6,86 129,17 129,17 887,3979 886,1062 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-02 6,888 6,878 129,11 129,11 889,30968 888,01858 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-03 6,903 6,893 127,72 127,72 881,65116 880,37396 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-04 6,9 6,89 126,08 126,08 869,952 868,6912 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-07 6,84 6,83 125,84 125,84 860,7456 859,4872 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-08 6,825 6,815 124,57 124,57 850,19025 848,94455 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-09 6,76 6,75 123,9 123,9 837,564 836,325 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-10 6,745 6,735 123,34 123,34 831,9283 830,6949 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-11 6,765 6,755 122,33 122,33 827,56245 826,33915 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-14 6,76 6,75 126,21 126,21 853,1796 851,9175 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-15 6,815 6,805 123,29 123,29 840,22135 838,98845 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-16 6,81 6,8 122,2 122,2 832,182 830,96 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-17 6,795 6,785 122,81 122,81 834,49395 833,26585 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-18 6,828 6,818 123,16 123,16 840,93648 839,70488 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-21 6,908 6,898 122,87 122,87 848,78596 847,55726 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-22 6,928 6,918 122,7 122,7 850,0656 848,8386 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-23 6,973 6,963 123,51 123,51 861,23523 860,00013 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-24 7,008 6,998 124,04 124,04 869,27232 868,03192 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-29 7,055 7,045 119,04 119,04 839,8272 838,6368 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-30 7,053 7,043 120,56 120,56 850,30968 849,10408 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-03-31 7,065 7,055 119,69 119,69 845,60985 844,41295 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-01 7,07 7,06 118,06 118,06 834,6842 833,5036 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-04 7,113 7,103 117,81 117,81 837,98253 836,80443 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-05 7,163 7,153 119,55 119,55 856,33665 855,14115 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-06 7,125 7,115 121,61 121,61 866,47125 865,25515 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-07 7,083 7,073 123,63 123,63 875,67129 874,43499 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-08 7,153 7,143 122,31 122,31 874,88343 873,66033 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-11 7,098 7,088 122,58 122,58 870,07284 868,84704 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-12 7,048 7,038 124,02 124,02 874,09296 872,85276 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-13 7,075 7,065 122,8 122,8 868,81 867,582 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-14 7,12 7,11 121,4 121,4 864,368 863,154 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-15 7,17 7,16 121,59 121,59 871,8003 870,5844 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-18 7,08 7,07 120,8 120,8 855,264 854,056 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-19 7,068 7,058 121,92 121,92 861,73056 860,51136 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-20 7,043 7,033 120,99 120,99 852,13257 850,92267 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-21 7,025 7,015 123,29 123,29 866,11225 864,87935 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-22 7,023 7,013 122,56 122,56 860,73888 859,51328 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-25 7,04 7,03 122,66 122,66 863,5264 862,2998 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-26 7,035 7,025 122,58 122,58 862,3503 861,1245 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-27 7,085 7,075 121,95 121,95 864,01575 862,79625 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-28 7,085 7,075 118,01 118,01 836,10085 834,92075 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-04-29 7,08 7,07 118,89 118,89 841,7412 840,5523 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-02 7,15 7,14 119,98 119,98 857,857 856,6572 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-03 7,178 7,168 120,28 120,28 863,36984 862,16704 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-04 7,11 7,1 121,82 121,82 866,1402 864,922 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-06 7,085 7,075 122,39 122,39 867,13315 865,90925 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-09 7,168 7,158 124,25 124,25 890,624 889,3815 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-10 7,178 7,168 125,02 125,02 897,39356 896,14336 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-11 7,15 7,14 125,46 125,46 897,039 895,7844 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-12 7,243 7,233 125,48 125,48 908,85164 907,59684 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-13 7,265 7,255 124,4 124,4 903,766 902,522 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-17 7,313 7,303 123,77 123,77 905,13001 903,89231 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-18 7,3 7,29 124,77 124,77 910,821 909,5733 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-19 7,26 7,25 125,14 125,14 908,5164 907,265 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-20 7,28 7,27 124,25 124,25 904,54 903,2975 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-23 7,32 7,31 124,65 124,65 912,438 911,1915 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-24 7,295 7,285 123,88 123,88 903,7046 902,4658 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-25 7,298 7,288 122,17 122,17 891,59666 890,37496 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-26 7,33 7,32 123,04 123,04 901,8832 900,6528 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-27 7,338 7,328 123,73 123,73 907,93074 906,69344 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-05-31 7,403 7,393 122,28 122,28 905,23884 904,01604 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-01 7,428 7,418 123,24 123,24 915,42672 914,19432 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-02 7,473 7,463 122,95 122,95 918,80535 917,57585 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-03 7,438 7,428 120,63 120,63 897,24594 896,03964 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-07 7,448 7,438 118,25 118,25 880,726 879,5435 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-08 7,435 7,425 117,91 117,91 876,66085 875,48175 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-09 7,523 7,513 119,77 119,77 901,02971 899,83201 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-10 7,525 7,515 120,3 120,3 905,2575 904,0545 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-13 7,643 7,633 120,66 120,66 922,20438 920,99778 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-14 7,663 7,653 121,13 121,13 928,21919 927,00789 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-15 7,693 7,683 121,26 121,26 932,85318 931,64058 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-16 7,678 7,668 124,52 124,52 956,06456 954,81936 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-17 7,643 7,633 125,8 125,8 961,4894 960,2314 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-20 7,543 7,533 126,46 126,46 953,88778 952,62318 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-21 7,648 7,638 125,66 125,66 961,04768 959,79108 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-22 7,608 7,598 125,31 125,31 953,35848 952,10538 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-27 7,73 7,72 123,64 123,64 955,7372 954,5008 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-28 7,76 7,75 125,76 125,76 975,8976 974,64 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-29 7,833 7,823 125,37 125,37 982,02321 980,76951 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-06-30 7,823 7,813 124,77 124,77 976,07571 974,82801 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-01 7,858 7,848 124,66 124,66 979,57828 978,33168 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-05 7,963 7,953 126,45 126,45 1006,92135 1005,65685 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-06 7,895 7,885 126,9 126,9 1001,8755 1000,6065 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-07 7,878 7,868 128,79 128,79 1014,60762 1013,31972 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-08 7,913 7,903 133,17 133,17 1053,77421 1052,44251 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-11 7,89 7,88 133,58 133,58 1053,9462 1052,6104 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-12 7,77 7,76 134,11 134,11 1042,0347 1040,6936 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-13 7,703 7,693 133,45 133,45 1027,96535 1026,63085 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-14 7,76 7,75 135,37 135,37 1050,4712 1049,1175 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-15 7,76 7,75 137,55 137,55 1067,388 1066,0125 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-18 7,78 7,77 136,6 136,6 1062,748 1061,382 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-19 7,878 7,868 136,9 136,9 1078,4982 1077,1292 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-20 7,818 7,808 143,21 143,21 1119,61578 1118,18368 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-21 7,775 7,765 143,42 143,42 1115,0905 1113,6563 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-22 7,758 7,748 141,03 141,03 1094,11074 1092,70044 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-25 7,838 7,828 139,17 139,17 1090,81446 1089,42276 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-26 7,818 7,808 140,38 140,38 1097,49084 1096,08704 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-27 7,905 7,895 139,84 139,84 1105,4352 1104,0368 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-28 7,848 7,838 140,98 140,98 1106,41104 1105,00124 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-07-29 7,748 7,738 140,08 140,08 1085,33984 1083,93904 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-01 7,72 7,71 142,13 142,13 1097,2436 1095,8223 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-02 7,7 7,69 143,99 143,99 1108,723 1107,2831 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-03 7,685 7,675 144,52 144,52 1110,6362 1109,191 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-04 7,618 7,608 142,15 142,15 1082,8987 1081,4772 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-05 7,548 7,538 140,49 140,49 1060,41852 1059,01362 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-08 7,558 7,548 137,59 137,59 1039,90522 1038,52932 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-09 7,548 7,538 138,43 138,43 1044,86964 1043,48534 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-10 7,558 7,548 138,59 138,59 1047,46322 1046,07732 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-11 7,523 7,513 139,93 139,93 1052,69339 1051,29409 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-12 7,46 7,45 138,66 138,66 1034,4036 1033,017 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-16 7,523 7,513 138,62 138,62 1042,83826 1041,45206 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-17 7,605 7,595 138,11 138,11 1050,32655 1048,94545 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-18 7,61 7,6 138,63 138,63 1054,9743 1053,588 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-19 7,698 7,688 139,12 139,12 1070,94576 1069,55456 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-22 7,69 7,68 138,91 138,91 1068,2179 1066,8288 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-23 7,663 7,653 139,82 139,82 1071,44066 1070,04246 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-24 7,673 7,663 139,84 139,84 1072,99232 1071,59392 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-25 7,588 7,578 140,38 140,38 1065,20344 1063,79964 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-26 7,578 7,568 139,61 139,61 1057,96458 1056,56848 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-29 7,573 7,563 141,69 141,69 1073,01837 1071,60147 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-30 7,633 7,623 140,61 140,61 1073,27613 1071,87003 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-08-31 7,668 7,658 143,28 143,28 1098,67104 1097,23824 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-01 7,568 7,558 145,04 145,04 1097,66272 1096,21232 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-02 7,435 7,425 143,86 143,86 1069,5991 1068,1605 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-06 7,485 7,475 146,57 146,57 1097,07645 1095,61075 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-07 7,43 7,42 147,31 147,31 1094,5133 1093,0402 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-08 7,498 7,488 146,84 146,84 1101,00632 1099,53792 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-09 7,523 7,513 147,73 147,73 1111,37279 1109,89549 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-12 7,555 7,545 147,69 147,69 1115,79795 1114,32105 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-13 7,57 7,56 146,11 146,11 1106,0527 1104,5916 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-14 7,61 7,6 144,9 144,9 1102,689 1101,24 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-15 7,658 7,648 145,3 145,3 1112,7074 1111,2544 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-16 7,613 7,603 146,25 146,25 1113,40125 1111,93875 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-19 7,698 7,688 145,68 145,68 1121,44464 1119,98784 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-20 7,688 7,678 145,68 145,68 1119,98784 1118,53104 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-21 7,663 7,653 142,6 142,6 1092,7438 1091,3178 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-22 7,648 7,638 141,82 141,82 1084,63936 1083,22116 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-23 7,733 7,723 141,7 141,7 1095,7661 1094,3491 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-26 7,798 7,788 142,02 142,02 1107,47196 1106,05176 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-27 7,825 7,815 141,04 141,04 1103,638 1102,2276 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-28 7,81 7,8 141,43 141,43 1104,5683 1103,154 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-29 7,785 7,775 142,51 142,51 1109,44035 1108,01525 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-09-30 7,785 7,775 143,72 143,72 1118,8602 1117,423 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-03 7,783 7,773 144,72 144,72 1126,35576 1124,90856 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-04 7,82 7,81 145,06 145,06 1134,3692 1132,9186 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-05 7,795 7,785 141,05 141,05 1099,48475 1098,07425 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-06 7,713 7,703 136,12 136,12 1049,89356 1048,53236 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-07 7,683 7,673 136,66 136,66 1049,95878 1048,59218 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-10 7,698 7,688 136,49 136,49 1050,70002 1049,33512 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-11 7,77 7,76 133,76 133,76 1039,3152 1037,9776 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-12 7,805 7,795 130,6 130,6 1019,333 1018,027 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-13 7,83 7,82 132,63 132,63 1038,4929 1037,1666 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-14 7,833 7,823 135,22 135,22 1059,17826 1057,82606 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-17 7,835 7,825 134,53 134,53 1054,04255 1052,69725 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-18 7,893 7,883 133,73 133,73 1055,53089 1054,19359 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-19 7,96 7,95 135,17 135,17 1075,9532 1074,6015 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-20 7,93 7,92 132,64 132,64 1051,8352 1050,5088 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-21 7,883 7,873 132,22 132,22 1042,29026 1040,96806 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-24 7,995 7,985 136,01 136,01 1087,39995 1086,03985 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-25 7,99 7,98 136,9 136,9 1093,831 1092,462 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-26 7,868 7,858 136,46 136,46 1073,66728 1072,30268 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-27 7,868 7,858 133,28 133,28 1048,64704 1047,31424 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-28 7,825 7,815 134,4 134,4 1051,68 1050,336 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-10-31 7,905 7,895 136,53 136,53 1079,26965 1077,90435 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-02 7,98 7,97 136,97 136,97 1093,0206 1091,6509 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-03 8,01 8 141,07 141,07 1129,9707 1128,56 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-04 8,028 8,018 142,23 142,23 1141,82244 1140,40014 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-07 8,135 8,125 142,23 142,23 1157,04105 1155,61875 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-08 8,17 8,16 142,07 142,07 1160,7119 1159,2912 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-09 8,12 8,11 142,26 142,26 1155,1512 1153,7286 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-10 8,173 8,163 144,61 144,61 1181,89753 1180,45143 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-11 8,235 8,225 145 145 1194,075 1192,625 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-14 8,133 8,123 143,71 143,71 1168,79343 1167,35633 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-15 8,185 8,175 143,38 143,38 1173,5653 1172,1315 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-16 8,21 8,2 143,42 143,42 1177,4782 1176,044 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-17 8,258 8,248 145,49 145,49 1201,45642 1200,00152 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-18 8,223 8,213 146,07 146,07 1201,13361 1199,67291 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-21 8,123 8,113 147,8 147,8 1200,5794 1199,1014 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-22 8,15 8,14 148,54 148,54 1210,601 1209,1156 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-23 8,048 8,038 147,64 147,64 1188,20672 1186,73032 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-25 8,078 8,068 147,28 147,28 1189,72784 1188,25504 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-28 8,118 8,108 144,1 144,1 1169,8038 1168,3628 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-29 8,015 8,005 143,51 143,51 1150,23265 1148,79755 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-11-30 8,088 8,078 143,99 143,99 1164,59112 1163,15122 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-01 8,083 8,073 145,74 145,74 1178,01642 1176,55902 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-02 8,103 8,093 144,77 144,77 1173,07131 1171,62361 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-05 8,045 8,035 144,86 144,86 1165,3987 1163,9501 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-06 7,993 7,983 143,99 143,99 1150,91207 1149,47217 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-07 8,015 8,005 143,59 143,59 1150,87385 1149,43795 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-08 7,988 7,978 144,31 144,31 1152,74828 1151,30518 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-12 7,953 7,943 144,11 144,11 1146,10683 1144,66573 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-13 7,905 7,895 144,56 144,56 1142,7468 1141,3012 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-14 7,848 7,838 142,9 142,9 1121,4792 1120,0502 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-15 7,858 7,848 147,21 147,21 1156,77618 1155,30408 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-16 7,903 7,893 146,33 146,33 1156,44599 1154,98269 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-19 7,865 7,855 143,93 143,93 1132,00945 1130,57015 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-20 7,848 7,838 145,02 145,02 1138,11696 1136,66676 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-21 7,948 7,938 147,61 147,61 1173,20428 1171,72818 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-22 7,98 7,97 150,36 150,36 1199,8728 1198,3692 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-23 7,955 7,945 151,1 151,1 1202,0005 1200,4895 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-27 8,01 8 150,07 150,07 1202,0607 1200,56 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-28 7,915 7,905 150,15 150,15 1188,43725 1186,93575 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-29 7,938 7,928 149,64 149,64 1187,84232 1186,34592 364158 UBS AG UBS (Lux) Equity Fund - Biotech USD 2005-12-30 7,958 7,948 149,49 149,49 1189,64142 1188,14652 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-03 9,0065 9,0015 123,64 123,64 1113,56366 1112,94546 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-04 9,0345 9,0295 124,05 124,05 1120,729725 1120,109475 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-05 9,0615 9,0565 122,4 122,4 1109,1276 1108,5156 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-07 9,0615 9,0565 122 122 1105,503 1104,893 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-10 9,08619 9,08119 121,73 121,73 1106,0619087 1105,4532587 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-11 9,08619 9,08119 122,45 122,45 1112,6039655 1111,9917155 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-12 9,0455 9,0405 122,6 122,6 1108,9783 1108,3653 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-13 9,0505 9,0455 122,68 122,68 1110,31534 1109,70194 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-14 9,0455 9,0405 123,55 123,55 1117,571525 1116,953775 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-17 9,0685 9,0635 124,72 124,72 1131,02332 1130,39972 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-18 9,0585 9,0535 122,67 122,67 1111,206195 1110,592845 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-19 9,0225 9,0175 122,66 122,66 1106,69985 1106,08655 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-20 9,0315 9,0265 121,94 121,94 1101,30111 1100,69141 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-21 9,0505 9,0455 121,87 121,87 1102,984435 1102,375085 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-24 9,0655 9,0605 122,2 122,2 1107,8041 1107,1931 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-25 9,0715 9,0665 123,56 123,56 1120,87454 1120,25674 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-26 9,0885 9,0835 124,13 124,13 1128,155505 1127,534855 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-27 9,0675 9,0625 125,2 125,2 1135,251 1134,625 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-28 9,0955 9,0905 126,21 126,21 1147,943055 1147,312005 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-01-31 9,1075 9,1025 126,16 126,16 1149,0022 1148,3714 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-01 9,1035 9,0985 126,8 126,8 1154,3238 1153,6898 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-02 9,0905 9,0855 127,22 127,22 1156,49341 1155,85731 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-03 9,0695 9,0645 128,74 128,74 1167,60743 1166,96373 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-04 9,0895 9,0845 130,55 130,55 1186,634225 1185,981475 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-07 9,0755 9,0705 132,48 132,48 1202,32224 1201,65984 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-08 9,0895 9,0845 132,2 132,2 1201,6319 1200,9709 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-09 9,0695 9,0645 132,62 132,62 1202,79709 1202,13399 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-10 9,0805 9,0755 132,97 132,97 1207,434085 1206,769235 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-11 9,0935 9,0885 133,92 133,92 1217,80152 1217,13192 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-14 9,1105 9,1055 134,48 134,48 1225,18004 1224,50764 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-15 9,0765 9,0715 136,28 136,28 1236,94542 1236,26402 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-16 9,0705 9,0655 138,47 138,47 1255,992135 1255,299785 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-17 9,0925 9,0875 140,14 140,14 1274,22295 1273,52225 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-18 9,0945 9,0895 140,42 140,42 1277,04969 1276,34759 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-21 9,1185 9,1135 142,12 142,12 1295,92122 1295,21062 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-22 9,0975 9,0925 143,28 143,28 1303,4898 1302,7734 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-23 9,1045 9,0995 143,2 143,2 1303,7644 1303,0484 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-24 9,0715 9,0665 143,7 143,7 1303,57455 1302,85605 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-25 9,0845 9,0795 148,02 148,02 1344,68769 1343,94759 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-02-28 9,0505 9,0455 147,7 147,7 1336,75885 1336,02035 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-01 9,0565 9,0515 148,46 148,46 1344,52799 1343,78569 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-02 9,0645 9,0595 143,98 143,98 1305,10671 1304,38681 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-03 9,0675 9,0625 144,02 144,02 1305,90135 1305,18125 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-04 9,0415 9,0365 146,04 146,04 1320,42066 1319,69046 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-07 9,0425 9,0375 149,09 149,09 1348,146325 1347,400875 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-08 9,0345 9,0295 148,6 148,6 1342,5267 1341,7837 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-09 9,0365 9,0315 149,76 149,76 1353,30624 1352,55744 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-10 9,0655 9,0605 146,44 146,44 1327,55182 1326,81962 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-11 9,0795 9,0745 145,8 145,8 1323,7911 1323,0621 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-14 9,0695 9,0645 143,2 143,2 1298,7524 1298,0364 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-15 9,1035 9,0985 142,05 142,05 1293,152175 1292,441925 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-16 9,0975 9,0925 134,87 134,87 1226,979825 1226,305475 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-17 9,1045 9,0995 133,45 133,45 1214,995525 1214,328275 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-18 9,1035 9,0985 135,61 135,61 1234,525635 1233,847585 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-21 9,1265 9,1215 132,22 132,22 1206,70583 1206,04473 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-22 9,1265 9,1215 136,08 136,08 1241,93412 1241,25372 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-23 9,1165 9,1115 134,67 134,67 1227,719055 1227,045705 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-24 9,1135 9,1085 135,84 135,84 1237,97784 1237,29864 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-29 9,1315 9,1265 135,65 135,65 1238,687975 1238,009725 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-30 9,1425 9,1375 135,38 135,38 1237,71165 1237,03475 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-03-31 9,1405 9,1355 138,02 138,02 1261,57181 1260,88171 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-01 9,1645 9,1595 139,34 139,34 1276,98143 1276,28473 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-04 9,1695 9,1645 137,98 137,98 1265,20761 1264,51771 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-05 9,1745 9,1695 139,23 139,23 1277,365635 1276,669485 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-06 9,1705 9,1655 140,2 140,2 1285,7041 1285,0031 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-07 9,1505 9,1455 139,79 139,79 1279,148395 1278,449445 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-08 9,1625 9,1575 139,47 139,47 1277,893875 1277,196525 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-11 9,1705 9,1655 138,8 138,8 1272,8654 1272,1714 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-12 9,1525 9,1475 139,66 139,66 1278,23815 1277,53985 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-13 9,1495 9,1445 139,86 139,86 1279,64907 1278,94977 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-14 9,1685 9,1635 138,62 138,62 1270,93747 1270,24437 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-15 9,1925 9,1875 136,77 136,77 1257,258225 1256,574375 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-18 9,1805 9,1755 132,38 132,38 1215,31459 1214,65269 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-19 9,2035 9,1985 132,4 132,4 1218,5434 1217,8814 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-20 9,1915 9,1865 132,6 132,6 1218,7929 1218,1299 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-21 9,1855 9,1805 132,01 132,01 1212,577855 1211,917805 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-22 9,1625 9,1575 132,71 132,71 1215,955375 1215,291825 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-25 9,1685 9,1635 134,01 134,01 1228,670685 1228,000635 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-26 9,1375 9,1325 133,34 133,34 1218,39425 1217,72755 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-27 9,1465 9,1415 130,3 130,3 1191,78895 1191,13745 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-28 9,1505 9,1455 127,23 127,23 1164,218115 1163,581965 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-04-29 9,1705 9,1655 127,53 127,53 1169,513865 1168,876215 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-02 9,1935 9,1885 128,35 128,35 1179,985725 1179,343975 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-03 9,2245 9,2195 128,31 128,31 1183,595595 1182,954045 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-04 9,1915 9,1865 128,04 128,04 1176,87966 1176,23946 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-06 9,1715 9,1665 130,4 130,4 1195,9636 1195,3116 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-09 9,1815 9,1765 129,68 129,68 1190,65692 1190,00852 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-10 9,1985 9,1935 126,75 126,75 1165,909875 1165,276125 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-11 9,2105 9,2055 127,07 127,07 1170,378235 1169,742885 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-12 9,2315 9,2265 126,56 126,56 1168,33864 1167,70584 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-13 9,2045 9,1995 124,02 124,02 1141,54209 1140,92199 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-17 9,2325 9,2275 124,15 124,15 1146,214875 1145,594125 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-18 9,2095 9,2045 127,85 127,85 1177,434575 1176,795325 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-19 9,1905 9,1855 129,43 129,43 1189,526415 1188,879265 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-20 9,1955 9,1905 129,81 129,81 1193,667855 1193,018805 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-23 9,1805 9,1755 129,85 129,85 1192,087925 1191,438675 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-24 9,1815 9,1765 129,77 129,77 1191,483255 1190,834405 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-25 9,1785 9,1735 128,53 128,53 1179,712605 1179,069955 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-26 9,1945 9,1895 129,53 129,53 1190,963585 1190,315935 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-27 9,1955 9,1905 131,72 131,72 1211,23126 1210,57266 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-30 9,1905 9,1855 131,97 131,97 1212,870285 1212,210435 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-05-31 9,1665 9,1615 132,66 132,66 1216,02789 1215,36459 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-01 9,1455 9,1405 132,84 132,84 1214,88822 1214,22402 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-02 9,1565 9,1515 134,91 134,91 1235,303415 1234,628865 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-03 9,1315 9,1265 136,56 136,56 1246,99764 1246,31484 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-07 9,1455 9,1405 139,56 139,56 1276,34598 1275,64818 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-08 9,1455 9,1405 138,96 138,96 1270,85868 1270,16388 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-09 9,1965 9,1915 139,43 139,43 1282,267995 1281,570845 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-10 9,1975 9,1925 142,03 142,03 1306,320925 1305,610775 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-13 9,2365 9,2315 142,83 142,83 1319,249295 1318,535145 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-14 9,2985 9,2935 142,41 142,41 1324,199385 1323,487335 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-15 9,2695 9,2645 143,39 143,39 1329,153605 1328,436655 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-16 9,2695 9,2645 145,34 145,34 1347,22913 1346,50243 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-17 9,2695 9,2645 144,54 144,54 1339,81353 1339,09083 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-20 9,2255 9,2205 145,52 145,52 1342,49476 1341,76716 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-21 9,2725 9,2675 145,73 145,73 1351,281425 1350,552775 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-22 9,2615 9,2565 147,05 147,05 1361,903575 1361,168325 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-27 9,3855 9,3805 143,24 143,24 1344,37902 1343,66282 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-28 9,3995 9,3945 144,52 144,52 1358,41574 1357,69314 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-29 9,4215 9,4165 144,91 144,91 1365,269565 1364,545015 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-06-30 9,4415 9,4365 146,45 146,45 1382,707675 1381,975425 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-01 9,4595 9,4545 148,6 148,6 1405,6817 1404,9387 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-04 9,4795 9,4745 150,29 150,29 1424,674055 1423,922605 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-05 9,4575 9,4525 149,12 149,12 1410,3024 1409,5568 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-06 9,4195 9,4145 150,14 150,14 1414,24373 1413,49303 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-07 9,3965 9,3915 147,82 147,82 1388,99063 1388,25153 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-08 9,4175 9,4125 149,77 149,77 1410,458975 1409,710125 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-11 9,4665 9,4615 148,61 148,61 1406,816565 1406,073515 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-12 9,4645 9,4595 150,66 150,66 1425,92157 1425,16827 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-13 9,3915 9,3865 151,61 151,61 1423,845315 1423,087265 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-14 9,3675 9,3625 151,89 151,89 1422,829575 1422,070125 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-15 9,4055 9,4005 151,51 151,51 1425,027305 1424,269755 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-18 9,3895 9,3845 150,59 150,59 1413,964805 1413,211855 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-19 9,4425 9,4375 152,14 152,14 1436,58195 1435,82125 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-20 9,4265 9,4215 153,2 153,2 1444,1398 1443,3738 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-21 9,4625 9,4575 152,35 152,35 1441,611875 1440,850125 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-22 9,4495 9,4445 152,08 152,08 1437,07996 1436,31956 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-25 9,4275 9,4225 153,87 153,87 1450,609425 1449,840075 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-26 9,4155 9,4105 154,17 154,17 1451,587635 1450,816785 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-27 9,4725 9,4675 156,22 156,22 1479,79395 1479,01285 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-28 9,4515 9,4465 157,89 157,89 1492,297335 1491,507885 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-07-29 9,3885 9,3835 158,64 158,64 1489,39164 1488,59844 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-01 9,3985 9,3935 160,14 160,14 1505,07579 1504,27509 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-02 9,3995 9,3945 162,3 162,3 1525,53885 1524,72735 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-03 9,3755 9,3705 160,06 160,06 1500,64253 1499,84223 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-04 9,3735 9,3685 160,03 160,03 1500,041205 1499,241055 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-05 9,3355 9,3305 160,18 160,18 1495,36039 1494,55949 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-08 9,3335 9,3285 162,83 162,83 1519,773805 1518,959655 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-09 9,3455 9,3405 162,66 162,66 1520,13903 1519,32573 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-10 9,3535 9,3485 161,2 161,2 1507,7842 1506,9782 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-11 9,3365 9,3315 160,45 160,45 1498,041425 1497,239175 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-12 9,3025 9,2975 158,81 158,81 1477,330025 1476,535975 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-16 9,2995 9,2945 162,48 162,48 1510,98276 1510,17036 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-17 9,3405 9,3355 161,43 161,43 1507,836915 1507,029765 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-18 9,3365 9,3315 160,48 160,48 1498,32152 1497,51912 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-19 9,3395 9,3345 159,63 159,63 1490,864385 1490,066235 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-22 9,3655 9,3605 160,86 160,86 1506,53433 1505,73003 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-23 9,3715 9,3665 161,14 161,14 1510,12351 1509,31781 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-24 9,3365 9,3315 161,37 161,37 1506,631005 1505,824155 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-25 9,3335 9,3285 161,17 161,17 1504,280195 1503,474345 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-26 9,3415 9,3365 162,32 162,32 1516,31228 1515,50068 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-29 9,3295 9,3245 162,83 162,83 1519,122485 1518,308335 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-30 9,3285 9,3235 165,64 165,64 1545,17274 1544,34454 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-08-31 9,3585 9,3535 166,76 166,76 1560,62346 1559,78966 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-01 9,3365 9,3315 170,85 170,85 1595,141025 1594,286775 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-02 9,3025 9,2975 173,38 173,38 1612,86745 1612,00055 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-05 9,2845 9,2795 172,15 172,15 1598,326675 1597,465925 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-06 9,3225 9,3175 173,14 173,14 1614,09765 1613,23195 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-07 9,3075 9,3025 171,92 171,92 1600,1454 1599,2858 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-08 9,3255 9,3205 171,9 171,9 1603,05345 1602,19395 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-09 9,3445 9,3395 174,92 174,92 1634,53994 1633,66534 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-12 9,3015 9,2965 176,57 176,57 1642,365855 1641,483005 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-13 9,3015 9,2965 176,32 176,32 1640,04048 1639,15888 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-14 9,3365 9,3315 177,29 177,29 1655,268085 1654,381635 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-15 9,3425 9,3375 180,85 180,85 1689,591125 1688,686875 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-16 9,3465 9,3415 183,25 183,25 1712,746125 1711,829875 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-19 9,3355 9,3305 184,46 184,46 1722,02633 1721,10403 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-20 9,3395 9,3345 183,53 183,53 1714,078435 1713,160785 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-21 9,3405 9,3355 182,54 182,54 1705,01487 1704,10217 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-22 9,3405 9,3355 182,71 182,71 1706,602755 1705,689205 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-23 9,3695 9,3645 180,9 180,9 1694,94255 1694,03805 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-26 9,3815 9,3765 182,66 182,66 1713,62479 1712,71149 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-27 9,3885 9,3835 186,26 186,26 1748,70201 1747,77071 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-28 9,3935 9,3885 183,94 183,94 1727,84039 1726,92069 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-29 9,3845 9,3795 184,4 184,4 1730,5018 1729,5798 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-09-30 9,3435 9,3385 183,85 183,85 1717,802475 1716,883225 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-03 9,3025 9,2975 186,08 186,08 1731,0092 1730,0788 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-04 9,3185 9,3135 186,47 186,47 1737,620695 1736,688345 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-05 9,3105 9,3055 183,85 183,85 1711,735425 1710,816175 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-06 9,3015 9,2965 176,23 176,23 1639,203345 1638,322195 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-07 9,3385 9,3335 175,71 175,71 1640,867835 1639,989285 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-10 9,3465 9,3415 176,91 176,91 1653,489315 1652,604765 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-11 9,3395 9,3345 180,06 180,06 1681,67037 1680,77007 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-12 9,3375 9,3325 177,71 177,71 1659,367125 1658,478575 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-13 9,3815 9,3765 169,8 169,8 1592,9787 1592,1297 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-14 9,4135 9,4085 164,69 164,69 1550,309315 1549,485865 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-17 9,4575 9,4525 167,39 167,39 1583,090925 1582,253975 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-18 9,4625 9,4575 166,8 166,8 1578,345 1577,511 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-19 9,4605 9,4555 160,69 160,69 1520,207745 1519,404295 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-20 9,4935 9,4885 162,9 162,9 1546,49115 1545,67665 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-21 9,4915 9,4865 161,78 161,78 1535,53487 1534,72597 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-24 9,5455 9,5405 164,13 164,13 1566,702915 1565,882265 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-25 9,5465 9,5415 165,24 165,24 1577,46366 1576,63746 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-26 9,4975 9,4925 165,14 165,14 1568,41715 1567,59145 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-27 9,5355 9,5305 163,02 163,02 1554,47721 1553,66211 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-28 9,5135 9,5085 163,57 163,57 1556,123195 1555,305345 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-10-31 9,5495 9,5445 166,61 166,61 1591,042195 1590,209145 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-02 9,5855 9,5805 170,9 170,9 1638,16195 1637,30745 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-03 9,6515 9,6465 174,29 174,29 1682,159935 1681,288485 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-04 9,5875 9,5825 174,78 174,78 1675,70325 1674,82935 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-07 9,6075 9,6025 174,5 174,5 1676,50875 1675,63625 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-08 9,5685 9,5635 172,18 172,18 1647,50433 1646,64343 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-09 9,5575 9,5525 172,2 172,2 1645,8015 1644,9405 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-10 9,6105 9,6055 170,6 170,6 1639,5513 1638,6983 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-11 9,6365 9,6315 169,6 169,6 1634,3504 1633,5024 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-14 9,5505 9,5455 169,23 169,23 1616,231115 1615,384965 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-15 9,5805 9,5755 168,96 168,96 1618,72128 1617,87648 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-16 9,6235 9,6185 171,3 171,3 1648,50555 1647,64905 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-17 9,6355 9,6305 173,66 173,66 1673,30093 1672,43263 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-18 9,6085 9,6035 173,64 173,64 1668,41994 1667,55174 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-21 9,5915 9,5865 172,78 172,78 1657,21937 1656,35547 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-22 9,5585 9,5535 170,82 170,82 1632,78297 1631,92887 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-23 9,5155 9,5105 173,05 173,05 1646,657275 1645,792025 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-24 9,5125 9,5075 174,73 174,73 1662,119125 1661,245475 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-25 9,4965 9,4915 176,16 176,16 1672,90344 1672,02264 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-28 9,4835 9,4785 177,96 177,96 1687,68366 1686,79386 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-29 9,4785 9,4735 176,82 176,82 1675,98837 1675,10427 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-11-30 9,5295 9,5245 175,82 175,82 1675,47669 1674,59759 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-01 9,5165 9,5115 177,33 177,33 1687,560945 1686,674295 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-02 9,4905 9,4855 180,88 180,88 1716,64164 1715,73724 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-05 9,4065 9,4015 180,34 180,34 1696,36821 1695,46651 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-06 9,4185 9,4135 177,39 177,39 1670,747715 1669,860765 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-07 9,4255 9,4205 178,78 178,78 1685,09089 1684,19699 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-08 9,3965 9,3915 177,07 177,07 1663,838255 1662,952905 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-12 9,4315 9,4265 178,57 178,57 1684,182955 1683,290105 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-13 9,4295 9,4245 178,34 178,34 1681,65703 1680,76533 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-14 9,4365 9,4315 179,35 179,35 1692,436275 1691,539525 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-15 9,4345 9,4295 179,1 179,1 1689,71895 1688,82345 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-16 9,4765 9,4715 178,66 178,66 1693,07149 1692,17819 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-19 9,4535 9,4485 180,77 180,77 1708,909195 1708,005345 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-20 9,4015 9,3965 182,95 182,95 1720,004425 1719,089675 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-21 9,4485 9,4435 183,6 183,6 1734,7446 1733,8266 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-22 9,4365 9,4315 180,71 180,71 1705,269915 1704,366365 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-23 9,4425 9,4375 182,55 182,55 1723,728375 1722,815625 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-27 9,4915 9,4865 184,38 184,38 1750,04277 1749,12087 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-28 9,4345 9,4295 183,35 183,35 1729,815575 1728,898825 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-29 9,4115 9,4065 183,63 183,63 1728,233745 1727,315595 779538 UBS AG UBS (Lux) Equity Fund - Central Europe EUR 2005-12-30 9,4325 9,4275 182,05 182,05 1717,186625 1716,276375 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-03 5,84 5,834 520,79 520,79 3041,4136 3038,28886 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-04 5,847 5,841 523,12 523,12 3058,68264 3055,54392 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-05 5,8385 5,8325 521,22 521,22 3043,14297 3040,01565 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-07 5,8555 5,8495 528,82 528,82 3096,50551 3093,33259 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-10 5,8755 5,8695 529,2 529,2 3109,3146 3106,1394 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-11 5,8755 5,8695 524,79 524,79 3083,403645 3080,254905 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-12 5,8405 5,8345 520,53 520,53 3040,155465 3037,032285 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-13 5,8485 5,8425 520,55 520,55 3044,436675 3041,313375 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-14 5,836 5,83 524,95 524,95 3063,6082 3060,4585 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-18 5,857 5,851 527,91 527,91 3091,96887 3088,80141 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-19 5,847 5,841 524,04 524,04 3064,06188 3060,91764 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-20 5,859 5,853 523,24 523,24 3065,66316 3062,52372 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-21 5,8545 5,8485 521,55 521,55 3053,414475 3050,285175 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-24 5,8665 5,8605 518,27 518,27 3040,430955 3037,321335 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-25 5,8755 5,8695 523,25 523,25 3074,355375 3071,215875 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-26 5,8665 5,8605 522,16 522,16 3063,25164 3060,11868 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-27 5,8615 5,8555 522,91 522,91 3065,036965 3061,899505 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-28 5,8845 5,8785 523,27 523,27 3079,182315 3076,042695 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-01-31 5,876 5,87 527,87 527,87 3101,76412 3098,5969 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-01 5,8655 5,8595 534,22 534,22 3133,46741 3130,26209 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-02 5,8545 5,8485 535,32 535,32 3134,03094 3130,81902 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-03 5,828 5,822 537,77 537,77 3134,12356 3130,89694 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-04 5,8325 5,8265 543,02 543,02 3167,16415 3163,90603 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-07 5,828 5,822 545,9 545,9 3181,5052 3178,2298 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-08 5,823 5,817 546,47 546,47 3182,09481 3178,81599 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-09 5,825 5,819 542,39 542,39 3159,42175 3156,16741 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-10 5,8345 5,8285 541,03 541,03 3156,639535 3153,393355 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-11 5,848 5,842 544,33 544,33 3183,24184 3179,97586 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-14 5,8635 5,8575 543,04 543,04 3184,11504 3180,8568 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-15 5,8485 5,8425 542,61 542,61 3173,454585 3170,198925 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-16 5,864 5,858 540,81 540,81 3171,30984 3168,06498 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-17 5,8805 5,8745 536,34 536,34 3153,94737 3150,72933 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-18 5,884 5,878 536,01 536,01 3153,88284 3150,66678 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-22 5,9045 5,8985 524,83 524,83 3098,858735 3095,709755 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-23 5,9245 5,9185 525,52 525,52 3113,44324 3110,29012 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-24 5,8995 5,8935 528,1 528,1 3115,52595 3112,35735 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-25 5,8895 5,8835 534,13 534,13 3145,758635 3142,553855 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-02-28 5,8825 5,8765 528 528 3105,96 3102,792 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-01 5,8955 5,8895 533,98 533,98 3148,07909 3144,87521 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-02 5,9 5,894 538,12 538,12 3174,908 3171,67928 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-03 5,8745 5,8685 538,98 538,98 3166,23801 3163,00413 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-04 5,8395 5,8335 539,38 539,38 3149,70951 3146,47323 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-07 5,8425 5,8365 544,04 544,04 3178,5537 3175,28946 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-08 5,821 5,815 537,04 537,04 3126,10984 3122,8876 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-09 5,8295 5,8235 535,3 535,3 3120,53135 3117,31955 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-10 5,8525 5,8465 529,96 529,96 3101,5909 3098,41114 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-11 5,863 5,857 527,55 527,55 3093,02565 3089,86035 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-14 5,8525 5,8465 531,25 531,25 3109,140625 3105,953125 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-15 5,8725 5,8665 532,35 532,35 3126,225375 3123,031275 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-16 5,872 5,866 523,64 523,64 3074,81408 3071,67224 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-17 5,8875 5,8815 525,41 525,41 3093,351375 3090,198915 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-18 5,884 5,878 528,99 528,99 3112,57716 3109,40322 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-21 5,8845 5,8785 529,25 529,25 3114,371625 3111,196125 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-22 5,8835 5,8775 528,45 528,45 3109,135575 3105,964875 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-23 5,866 5,86 532,3 532,3 3122,4718 3119,278 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-24 5,8705 5,8645 535,04 535,04 3140,95232 3137,74208 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-29 5,8865 5,8805 534,92 534,92 3148,80658 3145,59706 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-30 5,89 5,884 534,35 534,35 3147,3215 3144,1154 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-03-31 5,9005 5,8945 534,28 534,28 3152,51914 3149,31346 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-01 5,907 5,901 535,36 535,36 3162,37152 3159,15936 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-04 5,908 5,902 538,21 538,21 3179,74468 3176,51542 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-05 5,903 5,897 539,66 539,66 3185,61298 3182,37502 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-06 5,9165 5,9105 541,16 541,16 3201,77314 3198,52618 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-07 5,9045 5,8985 541,97 541,97 3200,061865 3196,810045 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-08 5,9055 5,8995 541,31 541,31 3196,706205 3193,458345 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-11 5,921 5,915 537,27 537,27 3181,17567 3177,95205 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-12 5,9115 5,9055 538,67 538,67 3184,347705 3181,115685 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-13 5,912 5,906 537,17 537,17 3175,74904 3172,52602 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-14 5,91 5,904 536,9 536,9 3173,079 3169,8576 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-15 5,9175 5,9115 523,88 523,88 3100,0599 3096,91662 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-18 5,9335 5,9275 514,57 514,57 3053,201095 3050,113675 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-19 5,954 5,948 517,2 517,2 3079,4088 3076,3056 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-20 5,9545 5,9485 511,76 511,76 3047,27492 3044,20436 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-21 5,9585 5,9525 515,4 515,4 3071,0109 3067,9185 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-22 5,9355 5,9295 516,81 516,81 3067,525755 3064,424895 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-25 5,9415 5,9355 522,02 522,02 3101,58183 3098,44971 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-26 5,922 5,916 518,61 518,61 3071,20842 3068,09676 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-27 5,9275 5,9215 516 516 3058,59 3055,494 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-28 5,9365 5,9305 513,56 513,56 3048,74894 3045,66758 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-04-29 5,967 5,961 516,97 516,97 3084,75999 3081,65817 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-02 5,9745 5,9685 522,34 522,34 3120,72033 3117,58629 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-03 5,9855 5,9795 522,17 522,17 3125,448535 3122,315515 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-04 5,9595 5,9535 524,6 524,6 3126,3537 3123,2061 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-06 5,9265 5,9205 531,82 531,82 3151,83123 3148,64031 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-09 5,936 5,93 532,75 532,75 3162,404 3159,2075 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-10 5,948 5,942 526,71 526,71 3132,87108 3129,71082 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-11 5,9655 5,9595 528,68 528,68 3153,84054 3150,66846 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-12 5,975 5,969 530,59 530,59 3170,27525 3167,09171 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-13 5,963 5,957 530,88 530,88 3165,63744 3162,45216 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-17 5,9795 5,9735 533,96 533,96 3192,81382 3189,61006 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-18 5,9705 5,9645 539,81 539,81 3222,935605 3219,696745 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-19 5,9545 5,9485 543,35 543,35 3235,377575 3232,117475 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-20 5,95 5,944 546,58 546,58 3252,151 3248,87152 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-23 5,9335 5,9275 546,87 546,87 3244,853145 3241,571925 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-24 5,9355 5,9295 547,18 547,18 3247,78689 3244,50381 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-25 5,9365 5,9305 543,58 543,58 3226,96267 3223,70119 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-26 5,9505 5,9445 549,65 549,65 3270,692325 3267,394425 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-27 5,9435 5,9375 549,85 549,85 3268,033475 3264,734375 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-05-31 5,9405 5,9345 550,59 550,59 3270,779895 3267,476355 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-01 5,9545 5,9485 557,19 557,19 3317,787855 3314,444715 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-02 5,9725 5,9665 557,18 557,18 3327,75755 3324,41447 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-03 5,952 5,946 555,54 555,54 3306,57408 3303,24084 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-07 5,9765 5,9705 556,07 556,07 3323,352355 3320,015935 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-08 5,972 5,966 554,58 554,58 3311,95176 3308,62428 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-09 6 5,994 557,75 557,75 3346,5 3343,1535 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-10 6,0005 5,9945 561,23 561,23 3367,660615 3364,293235 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-13 6,0095 6,0035 565,85 565,85 3400,475575 3397,080475 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-14 6,0395 6,0335 568,39 568,39 3432,791405 3429,381065 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-15 6,0305 6,0245 567,46 567,46 3422,06753 3418,66277 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-16 6,0275 6,0215 571,18 571,18 3442,78745 3439,36037 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-17 6,018 6,012 570,08 570,08 3430,74144 3427,32096 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-20 5,9755 5,9695 572,32 572,32 3419,89816 3416,46424 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-21 6,0145 6,0085 573,16 573,16 3447,27082 3443,83186 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-22 6,0125 6,0065 573,3 573,3 3446,96625 3443,52645 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-27 6,088 6,082 563,43 563,43 3430,16184 3426,78126 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-28 6,088 6,082 572,1 572,1 3482,9448 3479,5122 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-29 6,1025 6,0965 575,07 575,07 3509,364675 3505,914255 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-06-30 6,0985 6,0925 571,78 571,78 3487,00033 3483,56965 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-01 6,088 6,082 577,65 577,65 3516,7332 3513,2673 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-04 6,1215 6,1155 580,15 580,15 3551,388225 3547,907325 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-05 6,1015 6,0955 582,01 582,01 3551,134015 3547,641955 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-06 6,065 6,059 581,74 581,74 3528,2531 3524,76266 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-07 6,0495 6,0435 575,35 575,35 3480,579825 3477,127725 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-08 6,0695 6,0635 584,76 584,76 3549,20082 3545,69226 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-11 6,0875 6,0815 585,92 585,92 3566,788 3563,27248 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-12 6,0845 6,0785 582,3 582,3 3543,00435 3539,51055 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-13 6,0295 6,0235 587,13 587,13 3540,100335 3536,577555 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-14 6,018 6,012 590,1 590,1 3551,2218 3547,6812 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-15 6,0335 6,0275 591,98 591,98 3571,71133 3568,15945 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-18 6,0195 6,0135 588,79 588,79 3544,221405 3540,688665 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-19 6,041 6,035 592,91 592,91 3581,76931 3578,21185 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-20 6,0265 6,0205 592,44 592,44 3570,33966 3566,78502 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-21 6,0565 6,0505 587,98 587,98 3561,10087 3557,57299 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-22 6,0435 6,0375 589,78 589,78 3564,33543 3560,79675 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-25 6,034 6,028 590,3 590,3 3561,8702 3558,3284 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-26 6,033 6,027 592,81 592,81 3576,42273 3572,86587 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-27 6,0625 6,0565 595,63 595,63 3611,006875 3607,433095 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-28 6,043 6,037 596,43 596,43 3604,22649 3600,64791 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-07-29 6,0195 6,0135 592,56 592,56 3566,91492 3563,35956 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-01 6,0205 6,0145 591,84 591,84 3563,17272 3559,62168 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-02 6,0355 6,0295 594,47 594,47 3587,923685 3584,356865 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-03 6,0235 6,0175 590,77 590,77 3558,503095 3554,958475 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-04 6,0225 6,0165 585,03 585,03 3523,343175 3519,832995 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-05 5,9925 5,9865 582,31 582,31 3489,492675 3485,998815 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-08 5,9815 5,9755 580,47 580,47 3472,081305 3468,598485 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-09 6,0055 5,9995 583,68 583,68 3505,29024 3501,78816 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-10 6,009 6,003 585,91 585,91 3520,73319 3517,21773 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-11 6,007 6,001 585,72 585,72 3518,42004 3514,90572 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-12 5,991 5,985 583,16 583,16 3493,71156 3490,2126 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-16 5,9945 5,9885 585,25 585,25 3508,281125 3504,769625 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-17 6,026 6,02 585,21 585,21 3526,47546 3522,9642 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-18 6,04 6,034 588,25 588,25 3553,03 3549,5005 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-19 6,0375 6,0315 592,03 592,03 3574,381125 3570,828945 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-22 6,0385 6,0325 593,18 593,18 3581,91743 3578,35835 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-23 6,0305 6,0245 592,61 592,61 3573,734605 3570,178945 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-24 6,0035 5,9975 588,51 588,51 3533,119785 3529,588725 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-25 6,025 6,019 585,26 585,26 3526,1915 3522,67994 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-26 6,044 6,038 581,23 581,23 3512,95412 3509,46674 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-29 6,0375 6,0315 584,82 584,82 3530,85075 3527,34183 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-30 6,021 6,015 589,59 589,59 3549,92139 3546,38385 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-08-31 6,041 6,035 591,14 591,14 3571,07674 3567,5299 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-01 6,036 6,03 588,02 588,02 3549,28872 3545,7606 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-02 6,036 6,03 583,83 583,83 3523,99788 3520,4949 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-05 6,024 6,018 587,22 587,22 3537,41328 3533,88996 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-06 6,042 6,036 593,26 593,26 3584,47692 3580,91736 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-07 6,0325 6,0265 596,52 596,52 3598,5069 3594,92778 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-08 6,048 6,042 595,72 595,72 3602,91456 3599,34024 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-09 6,0625 6,0565 599,5 599,5 3634,46875 3630,87175 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-12 6,024 6,018 604,38 604,38 3640,78512 3637,15884 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-13 6,02 6,014 600,94 600,94 3617,6588 3614,05316 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-14 6,0365 6,0305 598,84 598,84 3614,89766 3611,30462 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-15 6,0485 6,0425 602,81 602,81 3646,096285 3642,479425 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-16 6,028 6,022 606,03 606,03 3653,14884 3649,51266 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-19 6,024 6,018 606,42 606,42 3653,07408 3649,43556 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-20 6,0185 6,0125 606,47 606,47 3650,039695 3646,400875 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-21 6,022 6,016 599,14 599,14 3608,02108 3604,42624 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-22 6,018 6,012 600,34 600,34 3612,84612 3609,24408 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-23 6,03 6,024 604,37 604,37 3644,3511 3640,72488 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-26 6,028 6,022 609,98 609,98 3676,95944 3673,29956 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-27 6,032 6,026 607,83 607,83 3666,43056 3662,78358 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-28 6,0405 6,0345 609,28 609,28 3680,35584 3676,70016 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-29 6,028 6,022 612,39 612,39 3691,48692 3687,81258 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-09-30 6,0005 5,9945 609,64 609,64 3658,14482 3654,48698 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-03 5,9875 5,9815 615,64 615,64 3686,1445 3682,45066 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-04 6,0075 6,0015 614,6 614,6 3692,2095 3688,5219 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-05 6,004 5,998 604,32 604,32 3628,33728 3624,71136 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-06 6,015 6,009 591,13 591,13 3555,64695 3552,10017 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-07 6,0285 6,0225 592,66 592,66 3572,85081 3569,29485 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-10 6,0325 6,0265 592,73 592,73 3575,643725 3572,087345 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-11 6,0365 6,0305 592,61 592,61 3577,290265 3573,734605 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-12 6,0345 6,0285 589,01 589,01 3554,380845 3550,846785 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-13 6,062 6,056 589,29 589,29 3572,27598 3568,74024 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-14 6,075 6,069 588,3 588,3 3573,9225 3570,3927 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-17 6,1005 6,0945 590,72 590,72 3603,68736 3600,14304 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-18 6,088 6,082 591,19 591,19 3599,16472 3595,61758 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-19 6,0955 6,0895 586,29 586,29 3573,730695 3570,212955 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-20 6,1155 6,1095 582,05 582,05 3559,526775 3556,034475 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-21 6,1385 6,1325 580,1 580,1 3560,94385 3557,46325 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-24 6,185 6,179 588,09 588,09 3637,33665 3633,80811 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-25 6,1845 6,1785 584,95 584,95 3617,623275 3614,113575 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-26 6,1495 6,1435 587,1 587,1 3610,37145 3606,84885 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-27 6,162 6,156 578,36 578,36 3563,85432 3560,38416 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-28 6,1555 6,1495 581,98 581,98 3582,37789 3578,88601 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-10-31 6,1805 6,1745 595,63 595,63 3681,291215 3677,717435 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-02 6,1995 6,1935 596,15 596,15 3695,831925 3692,255025 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-03 6,2555 6,2495 601,38 601,38 3761,93259 3758,32431 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-04 6,213 6,207 606,56 606,56 3768,55728 3764,91792 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-07 6,2235 6,2175 609,9 609,9 3795,71265 3792,05325 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-08 6,2045 6,1985 611,1 611,1 3791,56995 3787,90335 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-09 6,1965 6,1905 610,63 610,63 3783,768795 3780,105015 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-10 6,237 6,231 611,9 611,9 3816,4203 3812,7489 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-11 6,2725 6,2665 616,31 616,31 3865,804475 3862,106615 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-14 6,207 6,201 615,36 615,36 3819,53952 3815,84736 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-15 6,2165 6,2105 614,65 614,65 3820,971725 3817,283825 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-16 6,2315 6,2255 613,97 613,97 3825,954055 3822,270235 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-17 6,231 6,225 616,98 616,98 3844,40238 3840,7005 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-18 6,206 6,2 621,47 621,47 3856,84282 3853,114 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-21 6,1925 6,1865 621,88 621,88 3850,9919 3847,26062 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-22 6,1795 6,1735 623,91 623,91 3855,451845 3851,708385 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-23 6,143 6,137 624,99 624,99 3839,31357 3835,56363 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-24 6,1375 6,1315 624,12 624,12 3830,5365 3826,79178 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-25 6,1255 6,1195 626,15 626,15 3835,481825 3831,724925 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-28 6,133 6,127 621,01 621,01 3808,65433 3804,92827 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-29 6,1265 6,1205 623,28 623,28 3818,52492 3814,78524 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-11-30 6,1535 6,1475 619,69 619,69 3813,262415 3809,544275 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-01 6,1535 6,1475 629,53 629,53 3873,812855 3870,035675 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-02 6,1445 6,1385 631,08 631,08 3877,67106 3873,88458 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-05 6,0915 6,0855 626,86 626,86 3818,51769 3814,75653 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-06 6,1145 6,1085 626,29 626,29 3829,450205 3825,692465 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-07 6,119 6,113 626,93 626,93 3836,18467 3832,42309 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-08 6,108 6,102 621,37 621,37 3795,32796 3791,59974 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-12 6,132 6,126 622,08 622,08 3814,59456 3810,86208 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-13 6,1175 6,1115 625,69 625,69 3827,658575 3823,904435 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-14 6,113 6,107 620,97 620,97 3795,98961 3792,26379 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-15 6,1225 6,1165 622,48 622,48 3811,1338 3807,39892 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-16 6,1425 6,1365 624,9 624,9 3838,44825 3834,69885 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-19 6,0955 6,0895 623,09 623,09 3798,045095 3794,306555 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-20 6,0575 6,0515 629,11 629,11 3810,833825 3807,059165 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-21 6,088 6,082 634,23 634,23 3861,19224 3857,38686 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-22 6,0705 6,0645 635,26 635,26 3856,34583 3852,53427 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-23 6,0645 6,0585 636,57 636,57 3860,478765 3856,659345 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-27 6,0995 6,0935 634,64 634,64 3870,98668 3867,17884 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-28 6,0585 6,0525 633,61 633,61 3838,726185 3834,924525 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-29 6,0405 6,0345 635,37 635,37 3837,952485 3834,140265 435818 UBS AG UBS (Lux) Equity Fund - Eco Performance CHF 2005-12-30 6,061 6,055 632,45 632,45 3833,27945 3829,48475 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-12 7,953 7,943 18,47 18,47 146,89191 146,70721 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-13 7,905 7,895 18,55 18,55 146,63775 146,45225 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-14 7,848 7,838 18,57 18,57 145,73736 145,55166 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-15 7,858 7,848 18,49 18,49 145,29442 145,10952 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-16 7,903 7,893 18,47 18,47 145,96841 145,78371 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-19 7,865 7,855 18,58 18,58 146,1317 145,9459 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-20 7,848 7,838 18,59 18,59 145,89432 145,70842 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-21 7,948 7,938 18,79 18,79 149,34292 149,15502 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-22 7,98 7,97 18,81 18,81 150,1038 149,9157 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-23 7,955 7,945 18,88 18,88 150,1904 150,0016 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-27 8,01 8 18,94 18,94 151,7094 151,52 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-28 7,915 7,905 18,86 18,86 149,2769 149,0883 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-29 7,938 7,928 19,03 19,03 151,06014 150,86984 980466 UBS AG UBS (Lux) Equity Fund - Emerging Markets (USD) USD 2005-12-30 7,958 7,948 19,01 19,01 151,28158 151,09148 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-03 9,0065 9,0015 99,89 99,89 899,659285 899,159835 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-04 9,0345 9,0295 100,02 100,02 903,63069 903,13059 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-05 9,0615 9,0565 99,28 99,28 899,62572 899,12932 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-07 9,0615 9,0565 100,2 100,2 907,9623 907,4613 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-10 9,08619 9,08119 100,27 100,27 911,0722713 910,5709213 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-11 9,08619 9,08119 99,44 99,44 903,5307336 903,0335336 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-12 9,0455 9,0405 98,67 98,67 892,519485 892,026135 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-13 9,0505 9,0455 99,09 99,09 896,814045 896,318595 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-14 9,0455 9,0405 99,39 99,39 899,032245 898,535295 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-17 9,0685 9,0635 99,89 99,89 905,852465 905,353015 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-18 9,0585 9,0535 99,96 99,96 905,48766 904,98786 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-19 9,0225 9,0175 99,95 99,95 901,798875 901,299125 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-20 9,0315 9,0265 99,35 99,35 897,279525 896,782775 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-21 9,0505 9,0455 99,55 99,55 900,977275 900,479525 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-24 9,0655 9,0605 99,36 99,36 900,74808 900,25128 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-25 9,0715 9,0665 100,02 100,02 907,33143 906,83133 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-26 9,0885 9,0835 100,05 100,05 909,304425 908,804175 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-27 9,0675 9,0625 100,42 100,42 910,55835 910,05625 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-28 9,0955 9,0905 100,04 100,04 909,91382 909,41362 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-01-31 9,1075 9,1025 101,02 101,02 920,03965 919,53455 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-01 9,1035 9,0985 101,82 101,82 926,91837 926,40927 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-02 9,0905 9,0855 102,17 102,17 928,776385 928,265535 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-03 9,0695 9,0645 102,03 102,03 925,361085 924,850935 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-04 9,0895 9,0845 103 103 936,2185 935,7035 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-07 9,0755 9,0705 103,5 103,5 939,31425 938,79675 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-08 9,0895 9,0845 103,56 103,56 941,30862 940,79082 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-09 9,0695 9,0645 103,32 103,32 937,06074 936,54414 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-10 9,0805 9,0755 103,25 103,25 937,561625 937,045375 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-11 9,0935 9,0885 104,29 104,29 948,361115 947,839665 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-14 9,1105 9,1055 104,25 104,25 949,769625 949,248375 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-15 9,0765 9,0715 104,69 104,69 950,218785 949,695335 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-16 9,0705 9,0655 104,18 104,18 944,96469 944,44379 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-17 9,0925 9,0875 104,29 104,29 948,256825 947,735375 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-18 9,0945 9,0895 104,44 104,44 949,82958 949,30738 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-21 9,1185 9,1135 104,07 104,07 948,962295 948,441945 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-22 9,0975 9,0925 103,47 103,47 941,318325 940,800975 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-23 9,1045 9,0995 102,86 102,86 936,48887 935,97457 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-24 9,0715 9,0665 102,87 102,87 933,185205 932,670855 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-25 9,0845 9,0795 104,09 104,09 945,605605 945,085155 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-02-28 9,0505 9,0455 104,05 104,05 941,704525 941,184275 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-01 9,0565 9,0515 104,77 104,77 948,849505 948,325655 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-02 9,0645 9,0595 104,84 104,84 950,32218 949,79798 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-03 9,0675 9,0625 104,77 104,77 950,001975 949,478125 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-04 9,0415 9,0365 105,66 105,66 955,32489 954,79659 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-07 9,0425 9,0375 105,84 105,84 957,0582 956,529 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-08 9,0345 9,0295 105,29 105,29 951,242505 950,716055 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-09 9,0365 9,0315 104,83 104,83 947,296295 946,772145 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-10 9,0655 9,0605 103,84 103,84 941,36152 940,84232 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-11 9,0795 9,0745 103,95 103,95 943,814025 943,294275 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-14 9,0695 9,0645 103,93 103,93 942,593135 942,073485 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-15 9,1035 9,0985 104,55 104,55 951,770925 951,248175 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-16 9,0975 9,0925 102,96 102,96 936,6786 936,1638 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-17 9,1045 9,0995 103,16 103,16 939,22022 938,70442 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-18 9,1035 9,0985 103,57 103,57 942,849495 942,331645 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-21 9,1265 9,1215 103,19 103,19 941,763535 941,247585 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-22 9,1265 9,1215 103,53 103,53 944,866545 944,348895 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-23 9,1165 9,1115 103,16 103,16 940,45814 939,94234 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-24 9,1135 9,1085 103,94 103,94 947,25719 946,73749 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-29 9,1315 9,1265 104,1 104,1 950,58915 950,06865 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-30 9,1425 9,1375 103,67 103,67 947,802975 947,284625 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-03-31 9,1405 9,1355 103,8 103,8 948,7839 948,2649 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-01 9,1645 9,1595 104,2 104,2 954,9409 954,4199 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-04 9,1695 9,1645 103,7 103,7 950,87715 950,35865 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-05 9,1745 9,1695 104,33 104,33 957,175585 956,653935 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-06 9,1705 9,1655 104,82 104,82 961,25181 960,72771 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-07 9,1505 9,1455 105,31 105,31 963,639155 963,112605 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-08 9,1625 9,1575 105,39 105,39 965,635875 965,108925 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-11 9,1705 9,1655 105,13 105,13 964,094665 963,569015 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-12 9,1525 9,1475 104,69 104,69 958,175225 957,651775 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-13 9,1495 9,1445 105,18 105,18 962,34441 961,81851 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-14 9,1685 9,1635 104,95 104,95 962,234075 961,709325 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-15 9,1925 9,1875 103,03 103,03 947,103275 946,588125 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-18 9,1805 9,1755 101,01 101,01 927,322305 926,817255 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-19 9,2035 9,1985 101,27 101,27 932,038445 931,532095 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-20 9,1915 9,1865 100,97 100,97 928,065755 927,560905 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-21 9,1855 9,1805 101,13 101,13 928,929615 928,423965 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-22 9,1625 9,1575 101,97 101,97 934,300125 933,790275 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-25 9,1685 9,1635 102,22 102,22 937,20407 936,69297 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-26 9,1375 9,1325 102 102 932,025 931,515 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-27 9,1465 9,1415 100,66 100,66 920,68669 920,18339 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-28 9,1505 9,1455 100,35 100,35 918,252675 917,750925 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-04-29 9,1705 9,1655 100,58 100,58 922,36889 921,86599 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-02 9,1935 9,1885 101,27 101,27 931,025745 930,519395 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-03 9,2245 9,2195 101,61 101,61 937,301445 936,793395 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-04 9,1915 9,1865 102,16 102,16 939,00364 938,49284 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-06 9,1715 9,1665 103,36 103,36 947,96624 947,44944 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-09 9,1815 9,1765 103 103 945,6945 945,1795 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-10 9,1985 9,1935 102,35 102,35 941,466475 940,954725 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-11 9,2105 9,2055 102,13 102,13 940,668365 940,157715 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-12 9,2315 9,2265 102,85 102,85 949,459775 948,945525 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-13 9,2045 9,1995 102,92 102,92 947,32714 946,81254 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-17 9,2325 9,2275 102,59 102,59 947,162175 946,649225 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-18 9,2095 9,2045 104,26 104,26 960,18247 959,66117 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-19 9,1905 9,1855 104,85 104,85 963,623925 963,099675 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-20 9,1955 9,1905 105,03 105,03 965,803365 965,278215 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-23 9,1805 9,1755 105,73 105,73 970,654265 970,125615 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-24 9,1815 9,1765 105,54 105,54 969,01551 968,48781 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-25 9,1785 9,1735 105,4 105,4 967,4139 966,8869 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-26 9,1945 9,1895 106,25 106,25 976,915625 976,384375 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-27 9,1955 9,1905 106,2 106,2 976,5621 976,0311 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-30 9,1905 9,1855 106,7 106,7 980,62635 980,09285 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-05-31 9,1665 9,1615 106,19 106,19 973,390635 972,859685 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-01 9,1455 9,1405 107,77 107,77 985,610535 985,071685 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-02 9,1565 9,1515 107,8 107,8 987,0707 986,5317 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-03 9,1315 9,1265 107,4 107,4 980,7231 980,1861 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-07 9,1455 9,1405 108,04 108,04 988,07982 987,53962 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-08 9,1455 9,1405 107,94 107,94 987,16527 986,62557 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-09 9,1965 9,1915 107,91 107,91 992,394315 991,854765 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-10 9,1975 9,1925 108,62 108,62 999,03245 998,48935 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-13 9,2365 9,2315 109,16 109,16 1008,25634 1007,71054 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-14 9,2985 9,2935 109,22 109,22 1015,58217 1015,03607 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-15 9,2695 9,2645 108,75 108,75 1008,058125 1007,514375 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-16 9,2695 9,2645 109,16 109,16 1011,85862 1011,31282 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-17 9,2695 9,2645 109,76 109,76 1017,42032 1016,87152 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-20 9,2255 9,2205 109,38 109,38 1009,08519 1008,53829 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-21 9,2725 9,2675 109,96 109,96 1019,6041 1019,0543 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-22 9,2615 9,2565 110,19 110,19 1020,524685 1019,973735 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-27 9,3855 9,3805 108,42 108,42 1017,57591 1017,03381 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-28 9,3995 9,3945 109,4 109,4 1028,3053 1027,7583 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-29 9,4215 9,4165 110,06 110,06 1036,93029 1036,37999 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-06-30 9,4415 9,4365 110,13 110,13 1039,792395 1039,241745 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-01 9,4595 9,4545 111,1 111,1 1050,95045 1050,39495 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-04 9,4795 9,4745 111,34 111,34 1055,44753 1054,89083 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-05 9,4575 9,4525 111,05 111,05 1050,255375 1049,700125 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-06 9,4195 9,4145 111,63 111,63 1051,498785 1050,940635 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-07 9,3965 9,3915 109,91 109,91 1032,769315 1032,219765 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-08 9,4175 9,4125 111,65 111,65 1051,463875 1050,905625 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-11 9,4665 9,4615 112,39 112,39 1063,939935 1063,377985 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-12 9,4645 9,4595 112,02 112,02 1060,21329 1059,65319 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-13 9,3915 9,3865 112,81 112,81 1059,455115 1058,891065 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-14 9,3675 9,3625 113,37 113,37 1061,993475 1061,426625 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-15 9,4055 9,4005 113,28 113,28 1065,45504 1064,88864 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-18 9,3895 9,3845 113,18 113,18 1062,70361 1062,13771 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-19 9,4425 9,4375 114,35 114,35 1079,749875 1079,178125 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-20 9,4265 9,4215 114,04 114,04 1074,99806 1074,42786 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-21 9,4625 9,4575 114,03 114,03 1079,008875 1078,438725 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-22 9,4495 9,4445 113,88 113,88 1076,10906 1075,53966 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-25 9,4275 9,4225 114,06 114,06 1075,30065 1074,73035 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-26 9,4155 9,4105 114,23 114,23 1075,532565 1074,961415 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-27 9,4725 9,4675 114,63 114,63 1085,832675 1085,259525 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-28 9,4515 9,4465 115,15 115,15 1088,340225 1087,764475 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-07-29 9,3885 9,3835 114,95 114,95 1079,208075 1078,633325 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-01 9,3985 9,3935 114,93 114,93 1080,169605 1079,594955 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-02 9,3995 9,3945 115,78 115,78 1088,27411 1087,69521 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-03 9,3755 9,3705 115,78 115,78 1085,49539 1084,91649 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-04 9,3735 9,3685 114,82 114,82 1076,26527 1075,69117 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-05 9,3355 9,3305 114,08 114,08 1064,99384 1064,42344 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-08 9,3335 9,3285 114,55 114,55 1069,152425 1068,579675 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-09 9,3455 9,3405 115,63 115,63 1080,620165 1080,042015 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-10 9,3535 9,3485 116,79 116,79 1092,395265 1091,811315 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-11 9,3365 9,3315 116,33 116,33 1086,115045 1085,533395 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-12 9,3025 9,2975 115,81 115,81 1077,322525 1076,743475 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-16 9,2995 9,2945 115 115 1069,4425 1068,8675 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-17 9,3405 9,3355 114,63 114,63 1070,701515 1070,128365 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-18 9,3365 9,3315 114,15 114,15 1065,761475 1065,190725 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-19 9,3395 9,3345 115,48 115,48 1078,52546 1077,94806 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-22 9,3655 9,3605 115,62 115,62 1082,83911 1082,26101 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-23 9,3715 9,3665 114,72 114,72 1075,09848 1074,52488 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-24 9,3365 9,3315 114,54 114,54 1069,40271 1068,83001 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-25 9,3335 9,3285 113,48 113,48 1059,16558 1058,59818 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-26 9,3415 9,3365 112,56 112,56 1051,47924 1050,91644 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-29 9,3295 9,3245 113,03 113,03 1054,513385 1053,948235 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-30 9,3285 9,3235 112,82 112,82 1052,44137 1051,87727 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-08-31 9,3585 9,3535 113,84 113,84 1065,37164 1064,80244 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-01 9,3365 9,3315 114,37 114,37 1067,815505 1067,243655 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-02 9,3025 9,2975 114,19 114,19 1062,252475 1061,681525 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-05 9,2845 9,2795 114,92 114,92 1066,97474 1066,40014 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-06 9,3225 9,3175 115,95 115,95 1080,943875 1080,364125 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-07 9,3075 9,3025 116,29 116,29 1082,369175 1081,787725 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-08 9,3255 9,3205 116,17 116,17 1083,343335 1082,762485 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-09 9,3445 9,3395 116,61 116,61 1089,662145 1089,079095 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-12 9,3015 9,2965 116,51 116,51 1083,717765 1083,135215 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-13 9,3015 9,2965 115,54 115,54 1074,69531 1074,11761 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-14 9,3365 9,3315 115,92 115,92 1082,28708 1081,70748 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-15 9,3425 9,3375 115,93 115,93 1083,076025 1082,496375 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-16 9,3465 9,3415 116,73 116,73 1091,016945 1090,433295 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-19 9,3355 9,3305 116,48 116,48 1087,39904 1086,81664 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-20 9,3395 9,3345 117,12 117,12 1093,84224 1093,25664 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-21 9,3405 9,3355 115,65 115,65 1080,228825 1079,650575 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-22 9,3405 9,3355 115,22 115,22 1076,21241 1075,63631 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-23 9,3695 9,3645 115,87 115,87 1085,643965 1085,064615 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-26 9,3815 9,3765 117,64 117,64 1103,63966 1103,05146 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-27 9,3885 9,3835 117,11 117,11 1099,487235 1098,901685 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-28 9,3935 9,3885 118,27 118,27 1110,969245 1110,377895 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-29 9,3845 9,3795 117,8 117,8 1105,4941 1104,9051 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-09-30 9,3435 9,3385 118,4 118,4 1106,2704 1105,6784 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-03 9,3025 9,2975 119,11 119,11 1108,020775 1107,425225 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-04 9,3185 9,3135 119,61 119,61 1114,585785 1113,987735 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-05 9,3105 9,3055 118,25 118,25 1100,966625 1100,375375 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-06 9,3015 9,2965 117,03 117,03 1088,554545 1087,969395 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-07 9,3385 9,3335 116,68 116,68 1089,61618 1089,03278 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-10 9,3465 9,3415 116,85 116,85 1092,138525 1091,554275 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-11 9,3395 9,3345 117,04 117,04 1093,09508 1092,50988 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-12 9,3375 9,3325 116,17 116,17 1084,737375 1084,156525 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-13 9,3815 9,3765 115,04 115,04 1079,24776 1078,67256 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-14 9,4135 9,4085 115,5 115,5 1087,25925 1086,68175 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-17 9,4575 9,4525 115,65 115,65 1093,759875 1093,181625 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-18 9,4625 9,4575 115,02 115,02 1088,37675 1087,80165 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-19 9,4605 9,4555 112,98 112,98 1068,84729 1068,28239 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-20 9,4935 9,4885 113,11 113,11 1073,809785 1073,244235 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-21 9,4915 9,4865 112,65 112,65 1069,217475 1068,654225 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-24 9,5455 9,5405 113,9 113,9 1087,23245 1086,66295 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-25 9,5465 9,5415 113,48 113,48 1083,33682 1082,76942 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-26 9,4975 9,4925 113,88 113,88 1081,5753 1081,0059 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-27 9,5355 9,5305 111,98 111,98 1067,78529 1067,22539 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-28 9,5135 9,5085 111,94 111,94 1064,94119 1064,38149 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-10-31 9,5495 9,5445 114,34 114,34 1091,88983 1091,31813 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-02 9,5855 9,5805 114,69 114,69 1099,360995 1098,787545 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-03 9,6515 9,6465 116,16 116,16 1121,11824 1120,53744 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-04 9,5875 9,5825 115,98 115,98 1111,95825 1111,37835 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-07 9,6075 9,6025 116,32 116,32 1117,5444 1116,9628 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-08 9,5685 9,5635 116,22 116,22 1112,05107 1111,46997 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-09 9,5575 9,5525 116,18 116,18 1110,39035 1109,80945 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-10 9,6105 9,6055 116,2 116,2 1116,7401 1116,1591 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-11 9,6365 9,6315 117,65 117,65 1133,734225 1133,145975 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-14 9,5505 9,5455 117,65 117,65 1123,616325 1123,028075 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-15 9,5805 9,5755 117,62 117,62 1126,85841 1126,27031 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-16 9,6235 9,6185 117,03 117,03 1126,238205 1125,653055 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-17 9,6355 9,6305 117,51 117,51 1132,267605 1131,680055 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-18 9,6085 9,6035 118,28 118,28 1136,49338 1135,90198 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-21 9,5915 9,5865 118,83 118,83 1139,757945 1139,163795 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-22 9,5585 9,5535 119,01 119,01 1137,557085 1136,962035 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-23 9,5155 9,5105 119,72 119,72 1139,19566 1138,59706 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-24 9,5125 9,5075 119,41 119,41 1135,887625 1135,290575 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-25 9,4965 9,4915 119,73 119,73 1137,015945 1136,417295 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-28 9,4835 9,4785 119,14 119,14 1129,86419 1129,26849 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-29 9,4785 9,4735 119,49 119,49 1132,585965 1131,988515 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-11-30 9,5295 9,5245 119,07 119,07 1134,677565 1134,082215 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-01 9,5165 9,5115 120,79 120,79 1149,498035 1148,894085 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-02 9,4905 9,4855 121,39 121,39 1152,051795 1151,444845 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-05 9,4065 9,4015 120,94 120,94 1137,62211 1137,01741 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-06 9,4185 9,4135 121,64 121,64 1145,66634 1145,05814 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-07 9,4255 9,4205 121,36 121,36 1143,87868 1143,27188 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-08 9,3965 9,3915 121,6 121,6 1142,6144 1142,0064 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-12 9,4315 9,4265 121,79 121,79 1148,662385 1148,053435 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-13 9,4295 9,4245 121,98 121,98 1150,21041 1149,60051 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-14 9,4365 9,4315 121,7 121,7 1148,42205 1147,81355 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-15 9,4345 9,4295 121,92 121,92 1150,25424 1149,64464 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-16 9,4765 9,4715 122,94 122,94 1165,04091 1164,42621 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-19 9,4535 9,4485 122,85 122,85 1161,362475 1160,748225 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-20 9,4015 9,3965 122,99 122,99 1156,290485 1155,675535 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-21 9,4485 9,4435 123,94 123,94 1171,04709 1170,42739 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-22 9,4365 9,4315 123,98 123,98 1169,93727 1169,31737 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-23 9,4425 9,4375 124,26 124,26 1173,32505 1172,70375 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-27 9,4915 9,4865 124,69 124,69 1183,495135 1182,871685 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-28 9,4345 9,4295 124,51 124,51 1174,689595 1174,067045 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-29 9,4115 9,4065 124,9 124,9 1175,49635 1174,87185 471649 UBS AG UBS (Lux) Equity Fund - Euro Countries EUR 2005-12-30 9,4325 9,4275 123,95 123,95 1169,158375 1168,538625 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-03 9,0065 9,0015 128,13 128,13 1154,002845 1153,362195 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-04 9,0345 9,0295 128,22 128,22 1158,40359 1157,76249 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-05 9,0615 9,0565 127,18 127,18 1152,44157 1151,80567 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-07 9,0615 9,0565 128,66 128,66 1165,85259 1165,20929 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-10 9,08619 9,08119 128,59 128,59 1168,3931721 1167,7502221 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-11 9,08619 9,08119 127,33 127,33 1156,9445727 1156,3079227 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-12 9,0455 9,0405 126,16 126,16 1141,18028 1140,54948 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-13 9,0505 9,0455 126,73 126,73 1146,969865 1146,336215 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-14 9,0455 9,0405 127,22 127,22 1150,76851 1150,13241 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-17 9,0685 9,0635 127,83 127,83 1159,226355 1158,587205 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-18 9,0585 9,0535 127,88 127,88 1158,40098 1157,76158 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-19 9,0225 9,0175 127,75 127,75 1152,624375 1151,985625 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-20 9,0315 9,0265 126,79 126,79 1145,103885 1144,469935 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-21 9,0505 9,0455 126,94 126,94 1148,87047 1148,23577 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-24 9,0655 9,0605 126,81 126,81 1149,596055 1148,962005 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-25 9,0715 9,0665 127,73 127,73 1158,702695 1158,064045 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-26 9,0885 9,0835 127,61 127,61 1159,783485 1159,145435 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-27 9,0675 9,0625 128,25 128,25 1162,906875 1162,265625 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-28 9,0955 9,0905 127,63 127,63 1160,858665 1160,220515 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-01-31 9,1075 9,1025 128,82 128,82 1173,22815 1172,58405 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-01 9,1035 9,0985 128,86 128,86 1173,07701 1172,43271 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-02 9,0905 9,0855 130,42 130,42 1185,58301 1184,93091 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-03 9,0695 9,0645 130,01 130,01 1179,125695 1178,475645 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-04 9,0895 9,0845 131,29 131,29 1193,360455 1192,704005 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-07 9,0755 9,0705 131,97 131,97 1197,693735 1197,033885 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-08 9,0895 9,0845 132,09 132,09 1200,632055 1199,971605 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-09 9,0695 9,0645 131,62 131,62 1193,72759 1193,06949 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-10 9,0805 9,0755 131,56 131,56 1194,63058 1193,97278 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-11 9,0935 9,0885 133,08 133,08 1210,16298 1209,49758 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-14 9,1105 9,1055 132,94 132,94 1211,14987 1210,48517 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-15 9,0765 9,0715 133,46 133,46 1211,34969 1210,68239 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-16 9,0705 9,0655 132,63 132,63 1203,020415 1202,357265 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-17 9,0925 9,0875 132,54 132,54 1205,11995 1204,45725 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-18 9,0945 9,0895 132,75 132,75 1207,294875 1206,631125 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-21 9,1185 9,1135 132,44 132,44 1207,65414 1206,99194 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-22 9,0975 9,0925 131,63 131,63 1197,503925 1196,845775 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-23 9,1045 9,0995 130,8 130,8 1190,8686 1190,2146 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-24 9,0715 9,0665 130,71 130,71 1185,735765 1185,082215 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-25 9,0845 9,0795 132,36 132,36 1202,42442 1201,76262 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-02-28 9,0505 9,0455 132,17 132,17 1196,204585 1195,543735 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-01 9,0565 9,0515 133,02 133,02 1204,69563 1204,03053 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-02 9,0645 9,0595 133,28 133,28 1208,11656 1207,45016 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-03 9,0675 9,0625 133,03 133,03 1206,249525 1205,584375 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-04 9,0415 9,0365 134,24 134,24 1213,73096 1213,05976 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-07 9,0425 9,0375 134,55 134,55 1216,668375 1215,995625 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-08 9,0345 9,0295 133,88 133,88 1209,53886 1208,86946 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-09 9,0365 9,0315 133,22 133,22 1203,84253 1203,17643 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-10 9,0655 9,0605 131,98 131,98 1196,46469 1195,80479 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-11 9,0795 9,0745 132,28 132,28 1201,03626 1200,37486 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-14 9,0695 9,0645 132,37 132,37 1200,529715 1199,867865 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-15 9,1035 9,0985 133,45 133,45 1214,862075 1214,194825 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-16 9,0975 9,0925 131,13 131,13 1192,955175 1192,299525 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-17 9,1045 9,0995 131,48 131,48 1197,05966 1196,40226 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-18 9,1035 9,0985 132,06 132,06 1202,20821 1201,54791 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-21 9,1265 9,1215 131,35 131,35 1198,765775 1198,109025 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-22 9,1265 9,1215 131,92 131,92 1203,96788 1203,30828 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-23 9,1165 9,1115 131,33 131,33 1197,269945 1196,613295 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-24 9,1135 9,1085 132,33 132,33 1205,989455 1205,327805 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-29 9,1315 9,1265 132,66 132,66 1211,38479 1210,72149 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-30 9,1425 9,1375 131,97 131,97 1206,535725 1205,875875 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-03-31 9,1405 9,1355 131,95 131,95 1206,088975 1205,429225 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-01 9,1645 9,1595 132,23 132,23 1211,821835 1211,160685 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-04 9,1695 9,1645 131,38 131,38 1204,68891 1204,03201 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-05 9,1745 9,1695 132,3 132,3 1213,78635 1213,12485 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-06 9,1705 9,1655 132,74 132,74 1217,29217 1216,62847 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-07 9,1505 9,1455 133,45 133,45 1221,134225 1220,466975 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-08 9,1625 9,1575 133,49 133,49 1223,102125 1222,434675 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-11 9,1705 9,1655 133,15 133,15 1221,052075 1220,386325 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-12 9,1525 9,1475 132,44 132,44 1212,1571 1211,4949 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-13 9,1495 9,1445 133,09 133,09 1217,706955 1217,041505 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-14 9,1685 9,1635 132,87 132,87 1218,218595 1217,554245 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-15 9,1925 9,1875 130,24 130,24 1197,2312 1196,58 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-18 9,1805 9,1755 127,45 127,45 1170,054725 1169,417475 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-19 9,2035 9,1985 127,87 127,87 1176,851545 1176,212195 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-20 9,1915 9,1865 127,24 127,24 1169,52646 1168,89026 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-21 9,1855 9,1805 127,61 127,61 1172,161655 1171,523605 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-22 9,1625 9,1575 128,81 128,81 1180,221625 1179,577575 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-25 9,1685 9,1635 129,32 129,32 1185,67042 1185,02382 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-26 9,1375 9,1325 129,13 129,13 1179,925375 1179,279725 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-27 9,1465 9,1415 127,5 127,5 1166,17875 1165,54125 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-28 9,1505 9,1455 127,21 127,21 1164,035105 1163,399055 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-04-29 9,1705 9,1655 127,34 127,34 1167,77147 1167,13477 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-02 9,1935 9,1885 128,23 128,23 1178,882505 1178,241355 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-03 9,2245 9,2195 128,83 128,83 1188,392335 1187,748185 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-04 9,1915 9,1865 129,73 129,73 1192,413295 1191,764645 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-06 9,1715 9,1665 131,51 131,51 1206,143965 1205,486415 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-09 9,1815 9,1765 130,98 130,98 1202,59287 1201,93797 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-10 9,1985 9,1935 129,88 129,88 1194,70118 1194,05178 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-11 9,2105 9,2055 129,3 129,3 1190,91765 1190,27115 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-12 9,2315 9,2265 130,36 130,36 1203,41834 1202,76654 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-13 9,2045 9,1995 130,52 130,52 1201,37134 1200,71874 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-17 9,2325 9,2275 130,08 130,08 1200,9636 1200,3132 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-18 9,2095 9,2045 132,43 132,43 1219,614085 1218,951935 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-19 9,1905 9,1855 133,14 133,14 1223,62317 1222,95747 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-20 9,1955 9,1905 133,05 133,05 1223,461275 1222,796025 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-23 9,1805 9,1755 134,08 134,08 1230,92144 1230,25104 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-24 9,1815 9,1765 134 134 1230,321 1229,651 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-25 9,1785 9,1735 133,65 133,65 1226,706525 1226,038275 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-26 9,1945 9,1895 134,76 134,76 1239,05082 1238,37702 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-27 9,1955 9,1905 134,38 134,38 1235,69129 1235,01939 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-30 9,1905 9,1855 135,48 135,48 1245,12894 1244,45154 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-05-31 9,1665 9,1615 134,7 134,7 1234,72755 1234,05405 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-01 9,1455 9,1405 136,89 136,89 1251,927495 1251,243045 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-02 9,1565 9,1515 137,07 137,07 1255,081455 1254,396105 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-03 9,1315 9,1265 136,34 136,34 1244,98871 1244,30701 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-07 9,1455 9,1405 137,34 137,34 1256,04297 1255,35627 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-08 9,1455 9,1405 137,02 137,02 1253,11641 1252,43131 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-09 9,1965 9,1915 136,9 136,9 1259,00085 1258,31635 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-10 9,1975 9,1925 137,76 137,76 1267,0476 1266,3588 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-13 9,2365 9,2315 138,48 138,48 1279,07052 1278,37812 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-14 9,2985 9,2935 138,53 138,53 1288,121205 1287,428555 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-15 9,2695 9,2645 137,92 137,92 1278,44944 1277,75984 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-16 9,2695 9,2645 138,51 138,51 1283,918445 1283,225895 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-17 9,2695 9,2645 139,3 139,3 1291,24135 1290,54485 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-20 9,2255 9,2205 138,84 138,84 1280,86842 1280,17422 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-21 9,2725 9,2675 139,62 139,62 1294,62645 1293,92835 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-22 9,2615 9,2565 139,76 139,76 1294,38724 1293,68844 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-27 9,3855 9,3805 137,49 137,49 1290,412395 1289,724945 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-28 9,3995 9,3945 138,72 138,72 1303,89864 1303,20504 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-29 9,4215 9,4165 139,51 139,51 1314,393465 1313,695915 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-06-30 9,4415 9,4365 139,63 139,63 1318,316645 1317,618495 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-01 9,4595 9,4545 140,88 140,88 1332,65436 1331,94996 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-04 9,4795 9,4745 141,2 141,2 1338,5054 1337,7994 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-05 9,4575 9,4525 140,84 140,84 1331,9943 1331,2901 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-06 9,4195 9,4145 141,66 141,66 1334,36637 1333,65807 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-07 9,3965 9,3915 139,3 139,3 1308,93245 1308,23595 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-08 9,4175 9,4125 141,7 141,7 1334,45975 1333,75125 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-11 9,4665 9,4615 142,72 142,72 1351,05888 1350,34528 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-12 9,4645 9,4595 142,15 142,15 1345,378675 1344,667925 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-13 9,3915 9,3865 143,33 143,33 1346,083695 1345,367045 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-14 9,3675 9,3625 144,14 144,14 1350,23145 1349,51075 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-15 9,4055 9,4005 144,2 144,2 1356,2731 1355,5521 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-18 9,3895 9,3845 144,02 144,02 1352,27579 1351,55569 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-19 9,4425 9,4375 145,52 145,52 1374,0726 1373,345 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-20 9,4265 9,4215 144,97 144,97 1366,559705 1365,834855 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-21 9,4625 9,4575 145,09 145,09 1372,914125 1372,188675 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-22 9,4495 9,4445 144,8 144,8 1368,2876 1367,5636 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-25 9,4275 9,4225 145,23 145,23 1369,155825 1368,429675 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-26 9,4155 9,4105 145,49 145,49 1369,861095 1369,133645 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-27 9,4725 9,4675 146,02 146,02 1383,17445 1382,44435 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-28 9,4515 9,4465 147,09 147,09 1390,221135 1389,485685 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-07-29 9,3885 9,3835 146,86 146,86 1378,79511 1378,06081 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-01 9,3985 9,3935 146,64 146,64 1378,19604 1377,46284 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-02 9,3995 9,3945 148,06 148,06 1391,68997 1390,94967 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-03 9,3755 9,3705 147,9 147,9 1386,63645 1385,89695 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-04 9,3735 9,3685 146,32 146,32 1371,53052 1370,79892 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-05 9,3355 9,3305 144,94 144,94 1353,08737 1352,36267 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-08 9,3335 9,3285 145,53 145,53 1358,304255 1357,576605 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-09 9,3455 9,3405 147,29 147,29 1376,498695 1375,762245 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-10 9,3535 9,3485 149,05 149,05 1394,139175 1393,393925 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-11 9,3365 9,3315 148,28 148,28 1384,41622 1383,67482 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-12 9,3025 9,2975 147,48 147,48 1371,9327 1371,1953 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-16 9,2995 9,2945 146,21 146,21 1359,679895 1358,948845 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-17 9,3405 9,3355 145,86 145,86 1362,40533 1361,67603 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-18 9,3365 9,3315 145,21 145,21 1355,753165 1355,027115 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-19 9,3395 9,3345 147,32 147,32 1375,89514 1375,15854 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-22 9,3655 9,3605 147,38 147,38 1380,28739 1379,55049 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-23 9,3715 9,3665 145,91 145,91 1367,395565 1366,666015 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-24 9,3365 9,3315 145,74 145,74 1360,70151 1359,97281 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-25 9,3335 9,3285 144,05 144,05 1344,490675 1343,770425 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-26 9,3415 9,3365 142,64 142,64 1332,47156 1331,75836 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-29 9,3295 9,3245 143,38 143,38 1337,66371 1336,94681 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-30 9,3285 9,3235 143,15 143,15 1335,374775 1334,659025 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-08-31 9,3585 9,3535 144,4 144,4 1351,3674 1350,6454 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-01 9,3365 9,3315 145,04 145,04 1354,16596 1353,44076 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-02 9,3025 9,2975 144,54 144,54 1344,58335 1343,86065 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-05 9,2845 9,2795 145,64 145,64 1352,19458 1351,46638 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-06 9,3225 9,3175 147,24 147,24 1372,6449 1371,9087 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-07 9,3075 9,3025 147,48 147,48 1372,6701 1371,9327 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-08 9,3255 9,3205 147,02 147,02 1371,03501 1370,29991 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-09 9,3445 9,3395 147,5 147,5 1378,31375 1377,57625 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-12 9,3015 9,2965 147,1 147,1 1368,25065 1367,51515 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-13 9,3015 9,2965 145,63 145,63 1354,577445 1353,849295 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-14 9,3365 9,3315 146,25 146,25 1365,463125 1364,731875 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-15 9,3425 9,3375 146,3 146,3 1366,80775 1366,07625 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-16 9,3465 9,3415 147,53 147,53 1378,889145 1378,151495 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-19 9,3355 9,3305 147,05 147,05 1372,785275 1372,050025 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-20 9,3395 9,3345 147,86 147,86 1380,93847 1380,19917 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-21 9,3405 9,3355 145,77 145,77 1361,564685 1360,835835 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-22 9,3405 9,3355 145,05 145,05 1354,839525 1354,114275 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-23 9,3695 9,3645 145,79 145,79 1365,979405 1365,250455 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-26 9,3815 9,3765 148,75 148,75 1395,498125 1394,754375 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-27 9,3885 9,3835 147,99 147,99 1389,404115 1388,664165 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-28 9,3935 9,3885 149,91 149,91 1408,179585 1407,430035 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-29 9,3845 9,3795 149,18 149,18 1399,97971 1399,23381 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-09-30 9,3435 9,3385 149,81 149,81 1399,749735 1399,000685 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-03 9,3025 9,2975 150,68 150,68 1401,7007 1400,9473 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-04 9,3185 9,3135 151,29 151,29 1409,795865 1409,039415 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-05 9,3105 9,3055 149,37 149,37 1390,709385 1389,962535 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-06 9,3015 9,2965 148,02 148,02 1376,80803 1376,06793 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-07 9,3385 9,3335 147,42 147,42 1376,68167 1375,94457 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-10 9,3465 9,3415 147,7 147,7 1380,47805 1379,73955 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-11 9,3395 9,3345 147,95 147,95 1381,779025 1381,039275 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-12 9,3375 9,3325 146,79 146,79 1370,651625 1369,917675 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-13 9,3815 9,3765 145,57 145,57 1365,664955 1364,937105 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-14 9,4135 9,4085 146,43 146,43 1378,418805 1377,686655 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-17 9,4575 9,4525 146,74 146,74 1387,79355 1387,05985 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-18 9,4625 9,4575 145,84 145,84 1380,011 1379,2818 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-19 9,4605 9,4555 143,48 143,48 1357,39254 1356,67514 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-20 9,4935 9,4885 143,64 143,64 1363,64634 1362,92814 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-21 9,4915 9,4865 143,04 143,04 1357,66416 1356,94896 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-24 9,5455 9,5405 144,66 144,66 1380,85203 1380,12873 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-25 9,5465 9,5415 143,98 143,98 1374,50507 1373,78517 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-26 9,4975 9,4925 144,55 144,55 1372,863625 1372,140875 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-27 9,5355 9,5305 141,71 141,71 1351,275705 1350,567155 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-28 9,5135 9,5085 141,86 141,86 1349,58511 1348,87581 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-10-31 9,5495 9,5445 144,96 144,96 1384,29552 1383,57072 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-02 9,5855 9,5805 145,13 145,13 1391,143615 1390,417965 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-03 9,6515 9,6465 147,06 147,06 1419,34959 1418,61429 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-04 9,5875 9,5825 146,89 146,89 1408,307875 1407,573425 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-07 9,6075 9,6025 147,17 147,17 1413,935775 1413,199925 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-08 9,5685 9,5635 147,18 147,18 1408,29183 1407,55593 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-09 9,5575 9,5525 146,55 146,55 1400,651625 1399,918875 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-10 9,6105 9,6055 146,92 146,92 1411,97466 1411,24006 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-11 9,6365 9,6315 148,91 148,91 1434,971215 1434,226665 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-14 9,5505 9,5455 149,14 149,14 1424,36157 1423,61587 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-15 9,5805 9,5755 149,28 149,28 1430,17704 1429,43064 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-16 9,6235 9,6185 148,39 148,39 1428,031165 1427,289215 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-17 9,6355 9,6305 149,03 149,03 1435,978565 1435,233415 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-18 9,6085 9,6035 150,19 150,19 1443,100615 1442,349665 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-21 9,5915 9,5865 151,28 151,28 1451,00212 1450,24572 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-22 9,5585 9,5535 151,43 151,43 1447,443655 1446,686505 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-23 9,5155 9,5105 152,4 152,4 1450,1622 1449,4002 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-24 9,5125 9,5075 151,91 151,91 1445,043875 1444,284325 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-25 9,4965 9,4915 152,21 152,21 1445,462265 1444,701215 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-28 9,4835 9,4785 151,53 151,53 1437,034755 1436,277105 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-29 9,4785 9,4735 151,95 151,95 1440,258075 1439,498325 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-11-30 9,5295 9,5245 151,18 151,18 1440,66981 1439,91391 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-01 9,5165 9,5115 153,59 153,59 1461,639235 1460,871285 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-02 9,4905 9,4855 154,36 154,36 1464,95358 1464,18178 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-05 9,4065 9,4015 153,41 153,41 1443,051165 1442,284115 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-06 9,4185 9,4135 154,29 154,29 1453,180365 1452,408915 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-07 9,4255 9,4205 153,78 153,78 1449,45339 1448,68449 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-08 9,3965 9,3915 153,92 153,92 1446,30928 1445,53968 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-12 9,4315 9,4265 154,07 154,07 1453,111205 1452,340855 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-13 9,4295 9,4245 154,8 154,8 1459,6866 1458,9126 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-14 9,4365 9,4315 154,3 154,3 1456,05195 1455,28045 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-15 9,4345 9,4295 154,43 154,43 1456,969835 1456,197685 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-16 9,4765 9,4715 155,83 155,83 1476,722995 1475,943845 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-19 9,4535 9,4485 155,65 155,65 1471,437275 1470,659025 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-20 9,4015 9,3965 156,14 156,14 1467,95021 1467,16951 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-21 9,4485 9,4435 157,54 157,54 1488,51669 1487,72899 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-22 9,4365 9,4315 157,58 157,58 1487,00367 1486,21577 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-23 9,4425 9,4375 157,99 157,99 1491,820575 1491,030625 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-27 9,4915 9,4865 158,48 158,48 1504,21292 1503,42052 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-28 9,4345 9,4295 158,16 158,16 1492,16052 1491,36972 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-29 9,4115 9,4065 158,66 158,66 1493,22859 1492,43529 507475 UBS AG UBS (Lux) Equity Fund - Euro Stoxx 50 EUR 2005-12-30 9,4325 9,4275 157,09 157,09 1481,751425 1480,965975 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-03 9,0065 9,0015 89,29 89,29 804,190385 803,743935 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-04 9,0345 9,0295 89,77 89,77 811,027065 810,578215 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-05 9,0615 9,0565 89,47 89,47 810,732405 810,285055 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-07 9,0615 9,0565 90,97 90,97 824,324655 823,869805 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-10 9,08619 9,08119 90,91 90,91 826,0255329 825,5709829 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-11 9,08619 9,08119 90,19 90,19 819,4834761 819,0325261 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-12 9,0455 9,0405 89,17 89,17 806,587235 806,141385 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-13 9,0505 9,0455 89,09 89,09 806,309045 805,863595 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-14 9,0455 9,0405 89,66 89,66 811,01953 810,57123 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-17 9,0685 9,0635 89,94 89,94 815,62089 815,17119 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-18 9,0585 9,0535 90,63 90,63 820,971855 820,518705 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-19 9,0225 9,0175 90,3 90,3 814,73175 814,28025 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-20 9,0315 9,0265 90,12 90,12 813,91878 813,46818 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-21 9,0505 9,0455 89,61 89,61 811,015305 810,567255 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-24 9,0655 9,0605 89,48 89,48 811,18094 810,73354 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-25 9,0715 9,0665 90,06 90,06 816,97929 816,52899 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-26 9,0885 9,0835 89,59 89,59 814,238715 813,790765 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-27 9,0675 9,0625 89,69 89,69 813,264075 812,815625 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-28 9,0955 9,0905 89,6 89,6 814,9568 814,5088 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-01-31 9,1075 9,1025 90,25 90,25 821,951875 821,500625 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-01 9,1035 9,0985 91,08 91,08 829,14678 828,69138 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-02 9,0905 9,0855 91,07 91,07 827,871835 827,416485 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-03 9,0695 9,0645 91,03 91,03 825,596585 825,141435 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-04 9,0895 9,0845 91,88 91,88 835,14326 834,68386 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-07 9,0755 9,0705 92,46 92,46 839,12073 838,65843 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-08 9,0895 9,0845 92,69 92,69 842,505755 842,042305 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-09 9,0695 9,0645 92,37 92,37 837,749715 837,287865 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-10 9,0805 9,0755 92,31 92,31 838,220955 837,759405 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-11 9,0935 9,0885 93,26 93,26 848,05981 847,59351 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-14 9,1105 9,1055 93,2 93,2 849,0986 848,6326 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-15 9,0765 9,0715 93,31 93,31 846,928215 846,461665 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-16 9,0705 9,0655 92,48 92,48 838,83984 838,37744 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-17 9,0925 9,0875 91,85 91,85 835,146125 834,686875 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-18 9,0945 9,0895 91,47 91,47 831,873915 831,416565 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-21 9,1185 9,1135 91,32 91,32 832,70142 832,24482 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-22 9,0975 9,0925 89,96 89,96 818,4111 817,9613 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-23 9,1045 9,0995 89,94 89,94 818,85873 818,40903 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-24 9,0715 9,0665 89,89 89,89 815,437135 814,987685 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-25 9,0845 9,0795 90,54 90,54 822,51063 822,05793 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-02-28 9,0505 9,0455 89,97 89,97 814,273485 813,823635 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-01 9,0565 9,0515 91,09 91,09 824,956585 824,501135 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-02 9,0645 9,0595 91,25 91,25 827,135625 826,679375 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-03 9,0675 9,0625 91,11 91,11 826,139925 825,684375 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-04 9,0415 9,0365 91,58 91,58 828,02057 827,56267 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-07 9,0425 9,0375 91,86 91,86 830,64405 830,18475 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-08 9,0345 9,0295 91,12 91,12 823,22364 822,76804 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-09 9,0365 9,0315 90,48 90,48 817,62252 817,17012 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-10 9,0655 9,0605 90,08 90,08 816,62024 816,16984 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-11 9,0795 9,0745 89,51 89,51 812,706045 812,258495 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-14 9,0695 9,0645 89,98 89,98 816,07361 815,62371 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-15 9,1035 9,0985 90,43 90,43 823,229505 822,777355 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-16 9,0975 9,0925 88,98 88,98 809,49555 809,05065 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-17 9,1045 9,0995 88,78 88,78 808,29751 807,85361 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-18 9,1035 9,0985 89,09 89,09 811,030815 810,585365 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-21 9,1265 9,1215 88,87 88,87 811,072055 810,627705 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-22 9,1265 9,1215 88,32 88,32 806,05248 805,61088 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-23 9,1165 9,1115 88,57 88,57 807,448405 807,005555 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-24 9,1135 9,1085 88,83 88,83 809,552205 809,108055 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-29 9,1315 9,1265 88,92 88,92 811,97298 811,52838 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-30 9,1425 9,1375 88,85 88,85 812,311125 811,866875 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-03-31 9,1405 9,1355 88,89 88,89 812,499045 812,054595 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-01 9,1645 9,1595 88,83 88,83 814,082535 813,638385 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-04 9,1695 9,1645 89,08 89,08 816,81906 816,37366 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-05 9,1745 9,1695 89,26 89,26 818,91587 818,46957 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-06 9,1705 9,1655 89,69 89,69 822,502145 822,053695 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-07 9,1505 9,1455 89,54 89,54 819,33577 818,88807 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-08 9,1625 9,1575 89,73 89,73 822,151125 821,702475 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-11 9,1705 9,1655 89,18 89,18 817,82519 817,37929 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-12 9,1525 9,1475 89,63 89,63 820,338575 819,890425 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-13 9,1495 9,1445 89,47 89,47 818,605765 818,158415 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-14 9,1685 9,1635 88,96 88,96 815,62976 815,18496 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-15 9,1925 9,1875 87,45 87,45 803,884125 803,446875 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-18 9,1805 9,1755 86,53 86,53 794,388665 793,956015 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-19 9,2035 9,1985 87,03 87,03 800,980605 800,545455 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-20 9,1915 9,1865 86,08 86,08 791,20432 790,77392 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-21 9,1855 9,1805 86,09 86,09 790,779695 790,349245 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-22 9,1625 9,1575 86,45 86,45 792,098125 791,665875 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-25 9,1685 9,1635 87,31 87,31 800,501735 800,065185 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-26 9,1375 9,1325 86,99 86,99 794,871125 794,436175 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-27 9,1465 9,1415 86,95 86,95 795,288175 794,853425 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-28 9,1505 9,1455 86,57 86,57 792,158785 791,725935 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-04-29 9,1705 9,1655 87,31 87,31 800,676355 800,239805 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-02 9,1935 9,1885 87,72 87,72 806,45382 806,01522 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-03 9,2245 9,2195 87,61 87,61 808,158445 807,720395 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-04 9,1915 9,1865 88,29 88,29 811,517535 811,076085 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-06 9,1715 9,1665 88,96 88,96 815,89664 815,45184 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-09 9,1815 9,1765 88,96 88,96 816,78624 816,34144 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-10 9,1985 9,1935 87,7 87,7 806,70845 806,26995 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-11 9,2105 9,2055 88,05 88,05 810,984525 810,544275 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-12 9,2315 9,2265 88,53 88,53 817,264695 816,822045 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-13 9,2045 9,1995 88,22 88,22 812,02099 811,57989 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-17 9,2325 9,2275 88,5 88,5 817,07625 816,63375 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-18 9,2095 9,2045 89,59 89,59 825,079105 824,631155 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-19 9,1905 9,1855 90,09 90,09 827,972145 827,521695 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-20 9,1955 9,1905 90,06 90,06 828,14673 827,69643 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-23 9,1805 9,1755 90,22 90,22 828,26471 827,81361 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-24 9,1815 9,1765 90,3 90,3 829,08945 828,63795 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-25 9,1785 9,1735 89,92 89,92 825,33072 824,88112 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-26 9,1945 9,1895 90,12 90,12 828,60834 828,15774 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-27 9,1955 9,1905 90,06 90,06 828,14673 827,69643 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-30 9,1905 9,1855 90,06 90,06 827,69643 827,24613 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-05-31 9,1665 9,1615 90,95 90,95 833,693175 833,238425 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-01 9,1455 9,1405 92,43 92,43 845,318565 844,856415 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-02 9,1565 9,1515 92,26 92,26 844,77869 844,31739 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-03 9,1315 9,1265 91,86 91,86 838,81959 838,36029 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-07 9,1455 9,1405 92,52 92,52 846,14166 845,67906 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-08 9,1455 9,1405 92,44 92,44 845,41002 844,94782 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-09 9,1965 9,1915 92,86 92,86 853,98699 853,52269 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-10 9,1975 9,1925 93,27 93,27 857,850825 857,384475 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-13 9,2365 9,2315 93,64 93,64 864,90586 864,43766 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-14 9,2985 9,2935 93,66 93,66 870,89751 870,42921 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-15 9,2695 9,2645 93,75 93,75 869,015625 868,546875 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-16 9,2695 9,2645 94,19 94,19 873,094205 872,623255 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-17 9,2695 9,2645 93,91 93,91 870,498745 870,029195 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-20 9,2255 9,2205 94,1 94,1 868,11955 867,64905 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-21 9,2725 9,2675 94,61 94,61 877,271225 876,798175 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-22 9,2615 9,2565 94,92 94,92 879,10158 878,62698 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-27 9,3855 9,3805 93,75 93,75 879,890625 879,421875 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-28 9,3995 9,3945 94,64 94,64 889,56868 889,09548 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-29 9,4215 9,4165 95,07 95,07 895,702005 895,226655 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-06-30 9,4415 9,4365 94,38 94,38 891,08877 890,61687 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-01 9,4595 9,4545 95,31 95,31 901,584945 901,108395 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-04 9,4795 9,4745 95,31 95,31 903,491145 903,014595 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-05 9,4575 9,4525 95,47 95,47 902,907525 902,430175 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-06 9,4195 9,4145 95,38 95,38 898,43191 897,95501 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-07 9,3965 9,3915 94,37 94,37 886,747705 886,275855 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-08 9,4175 9,4125 95,35 95,35 897,958625 897,481875 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-11 9,4665 9,4615 95,44 95,44 903,48276 903,00556 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-12 9,4645 9,4595 94,87 94,87 897,897115 897,422765 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-13 9,3915 9,3865 95,78 95,78 899,51787 899,03897 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-14 9,3675 9,3625 96,49 96,49 903,870075 903,387625 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-15 9,4055 9,4005 96,76 96,76 910,07618 909,59238 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-18 9,3895 9,3845 96,02 96,02 901,57979 901,09969 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-19 9,4425 9,4375 96,25 96,25 908,840625 908,359375 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-20 9,4265 9,4215 96,01 96,01 905,038265 904,558215 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-21 9,4625 9,4575 95,81 95,81 906,602125 906,123075 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-22 9,4495 9,4445 95,91 95,91 906,301545 905,821995 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-25 9,4275 9,4225 95,94 95,94 904,47435 903,99465 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-26 9,4155 9,4105 96,17 96,17 905,488635 905,007785 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-27 9,4725 9,4675 96,2 96,2 911,2545 910,7735 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-28 9,4515 9,4465 96,28 96,28 909,99042 909,50902 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-07-29 9,3885 9,3835 95,44 95,44 896,03844 895,56124 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-01 9,3985 9,3935 95,32 95,32 895,86502 895,38842 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-02 9,3995 9,3945 95,97 95,97 902,070015 901,590165 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-03 9,3755 9,3705 95,49 95,49 895,266495 894,789045 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-04 9,3735 9,3685 94,4 94,4 884,8584 884,3864 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-05 9,3355 9,3305 94,07 94,07 878,190485 877,720135 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-08 9,3335 9,3285 94,09 94,09 878,189015 877,718565 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-09 9,3455 9,3405 94,42 94,42 882,40211 881,93001 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-10 9,3535 9,3485 95,13 95,13 889,798455 889,322805 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-11 9,3365 9,3315 95,46 95,46 891,26229 890,78499 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-12 9,3025 9,2975 95,42 95,42 887,64455 887,16745 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-16 9,2995 9,2945 95,91 95,91 891,915045 891,435495 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-17 9,3405 9,3355 95,81 95,81 894,913305 894,434255 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-18 9,3365 9,3315 96,15 96,15 897,704475 897,223725 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-19 9,3395 9,3345 96,77 96,77 903,783415 903,299565 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-22 9,3655 9,3605 96,83 96,83 906,861365 906,377215 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-23 9,3715 9,3665 96,31 96,31 902,569165 902,087615 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-24 9,3365 9,3315 95,46 95,46 891,26229 890,78499 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-25 9,3335 9,3285 94,9 94,9 885,74915 885,27465 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-26 9,3415 9,3365 94,28 94,28 880,71662 880,24522 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-29 9,3295 9,3245 94,47 94,47 881,357865 880,885515 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-30 9,3285 9,3235 94,72 94,72 883,59552 883,12192 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-08-31 9,3585 9,3535 94,79 94,79 887,092215 886,618265 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-01 9,3365 9,3315 94,44 94,44 881,73906 881,26686 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-02 9,3025 9,2975 93,96 93,96 874,0629 873,5931 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-05 9,2845 9,2795 94,44 94,44 876,82818 876,35598 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-06 9,3225 9,3175 95,6 95,6 891,231 890,753 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-07 9,3075 9,3025 96,17 96,17 895,102275 894,621425 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-08 9,3255 9,3205 96,09 96,09 896,087295 895,606845 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-09 9,3445 9,3395 96,46 96,46 901,37047 900,88817 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-12 9,3015 9,2965 97,12 97,12 903,36168 902,87608 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-13 9,3015 9,2965 96,58 96,58 898,33887 897,85597 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-14 9,3365 9,3315 96,52 96,52 901,15898 900,67638 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-15 9,3425 9,3375 96,58 96,58 902,29865 901,81575 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-16 9,3465 9,3415 97,39 97,39 910,255635 909,768685 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-19 9,3355 9,3305 97,51 97,51 910,304605 909,817055 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-20 9,3395 9,3345 97,69 97,69 912,375755 911,887305 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-21 9,3405 9,3355 96,48 96,48 901,17144 900,68904 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-22 9,3405 9,3355 96,42 96,42 900,61101 900,12891 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-23 9,3695 9,3645 97,08 97,08 909,59106 909,10566 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-26 9,3815 9,3765 98,39 98,39 923,045785 922,553835 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-27 9,3885 9,3835 98,34 98,34 923,26509 922,77339 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-28 9,3935 9,3885 98,98 98,98 929,76863 929,27373 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-29 9,3845 9,3795 99,58 99,58 934,50851 934,01061 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-09-30 9,3435 9,3385 99,23 99,23 927,155505 926,659355 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-03 9,3025 9,2975 100,06 100,06 930,80815 930,30785 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-04 9,3185 9,3135 99,89 99,89 930,824965 930,325515 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-05 9,3105 9,3055 98,97 98,97 921,460185 920,965335 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-06 9,3015 9,2965 97,53 97,53 907,175295 906,687645 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-07 9,3385 9,3335 97,59 97,59 911,344215 910,856265 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-10 9,3465 9,3415 97,89 97,89 914,928885 914,439435 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-11 9,3395 9,3345 98,4 98,4 919,0068 918,5148 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-12 9,3375 9,3325 97,89 97,89 914,047875 913,558425 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-13 9,3815 9,3765 98,08 98,08 920,13752 919,64712 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-14 9,4135 9,4085 97,94 97,94 921,95819 921,46849 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-17 9,4575 9,4525 97,85 97,85 925,416375 924,927125 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-18 9,4625 9,4575 97,9 97,9 926,37875 925,88925 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-19 9,4605 9,4555 97,19 97,19 919,465995 918,980045 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-20 9,4935 9,4885 97,32 97,32 923,90742 923,42082 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-21 9,4915 9,4865 97,34 97,34 923,90261 923,41591 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-24 9,5455 9,5405 98,68 98,68 941,94994 941,45654 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-25 9,5465 9,5415 98,27 98,27 938,134555 937,643205 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-26 9,4975 9,4925 98,63 98,63 936,738425 936,245275 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-27 9,5355 9,5305 98,05 98,05 934,955775 934,465525 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-28 9,5135 9,5085 98,29 98,29 935,081915 934,590465 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-10-31 9,5495 9,5445 100,26 100,26 957,43287 956,93157 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-02 9,5855 9,5805 101,01 101,01 968,231355 967,726305 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-03 9,6515 9,6465 102,1 102,1 985,41815 984,90765 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-04 9,5875 9,5825 102,99 102,99 987,416625 986,901675 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-07 9,6075 9,6025 103,67 103,67 996,009525 995,491175 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-08 9,5685 9,5635 103,71 103,71 992,349135 991,830585 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-09 9,5575 9,5525 103,75 103,75 991,590625 991,071875 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-10 9,6105 9,6055 104,69 104,69 1006,123245 1005,599795 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-11 9,6365 9,6315 105,96 105,96 1021,08354 1020,55374 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-14 9,5505 9,5455 105,52 105,52 1007,76876 1007,24116 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-15 9,5805 9,5755 105,16 105,16 1007,48538 1006,95958 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-16 9,6235 9,6185 104,81 104,81 1008,639035 1008,114985 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-17 9,6355 9,6305 105,54 105,54 1016,93067 1016,40297 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-18 9,6085 9,6035 106,55 106,55 1023,785675 1023,252925 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-21 9,5915 9,5865 106,67 106,67 1023,125305 1022,591955 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-22 9,5585 9,5535 106,84 106,84 1021,23014 1020,69594 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-23 9,5155 9,5105 107,33 107,33 1021,298615 1020,761965 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-24 9,5125 9,5075 107,14 107,14 1019,16925 1018,63355 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-25 9,4965 9,4915 107,73 107,73 1023,057945 1022,519295 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-28 9,4835 9,4785 107,17 107,17 1016,346695 1015,810845 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-29 9,4785 9,4735 107,25 107,25 1016,569125 1016,032875 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-11-30 9,5295 9,5245 106,19 106,19 1011,937605 1011,406655 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-01 9,5165 9,5115 107,93 107,93 1027,115845 1026,576195 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-02 9,4905 9,4855 108,55 108,55 1030,193775 1029,651025 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-05 9,4065 9,4015 107,96 107,96 1015,52574 1014,98594 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-06 9,4185 9,4135 108,19 108,19 1018,987515 1018,446565 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-07 9,4255 9,4205 108,03 108,03 1018,236765 1017,696615 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-08 9,3965 9,3915 107,07 107,07 1006,083255 1005,547905 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-12 9,4315 9,4265 107,42 107,42 1013,13173 1012,59463 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-13 9,4295 9,4245 107,83 107,83 1016,782985 1016,243835 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-14 9,4365 9,4315 107,65 107,65 1015,839225 1015,300975 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-15 9,4345 9,4295 107,44 107,44 1013,64268 1013,10548 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-16 9,4765 9,4715 108,03 108,03 1023,746295 1023,206145 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-19 9,4535 9,4485 107,85 107,85 1019,559975 1019,020725 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-20 9,4015 9,3965 108,72 108,72 1022,13108 1021,58748 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-21 9,4485 9,4435 109,96 109,96 1038,95706 1038,40726 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-22 9,4365 9,4315 109,97 109,97 1037,731905 1037,182055 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-23 9,4425 9,4375 110 110 1038,675 1038,125 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-27 9,4915 9,4865 109,8 109,8 1042,1667 1041,6177 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-28 9,4345 9,4295 109,48 109,48 1032,88906 1032,34166 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-29 9,4115 9,4065 109,81 109,81 1033,476815 1032,927765 543306 UBS AG UBS (Lux) Equity Fund - Financial Services EUR 2005-12-30 9,4325 9,4275 109,33 109,33 1031,255225 1030,708575 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-12 7,953 7,943 87,24 87,24 693,81972 692,94732 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-13 7,905 7,895 87,44 87,44 691,2132 690,3388 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-14 7,848 7,838 87,6 87,6 687,4848 686,6088 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-15 7,858 7,848 88,14 88,14 692,60412 691,72272 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-16 7,903 7,893 88,12 88,12 696,41236 695,53116 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-19 7,865 7,855 89,24 89,24 701,8726 700,9802 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-20 7,848 7,838 88,98 88,98 698,31504 697,42524 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-21 7,948 7,938 89,28 89,28 709,59744 708,70464 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-22 7,98 7,97 89,28 89,28 712,4544 711,5616 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-23 7,955 7,945 89,79 89,79 714,27945 713,38155 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-28 7,915 7,905 89,68 89,68 709,8172 708,9204 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-29 7,938 7,928 90,19 90,19 715,92822 715,02632 908806 UBS AG UBS (Lux) Equity Fund - Greater China USD 2005-12-30 7,958 7,948 89,74 89,74 714,15092 713,25352 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-03 6,668 6,658 105,12 105,12 700,94016 699,88896 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-04 6,728 6,718 104,05 104,05 700,0484 699,0079 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-05 6,828 6,818 103,57 103,57 707,17596 706,14026 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-07 6,87 6,86 103,58 103,58 711,5946 710,5588 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-10 6,96091 6,95091 104,11 104,11 724,7003401 723,6592401 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-11 6,96091 6,95091 103,55 103,55 720,8022305 719,7667305 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-12 6,913 6,903 104,15 104,15 719,98895 718,94745 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-13 6,843 6,833 103,07 103,07 705,30801 704,27731 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-14 6,915 6,905 103,29 103,29 714,25035 713,21745 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-18 6,968 6,958 103,79 103,79 723,20872 722,17082 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-19 6,91 6,9 103,36 103,36 714,2176 713,184 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-20 6,96 6,95 102,73 102,73 715,0008 713,9735 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-21 6,978 6,968 102,25 102,25 713,5005 712,478 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-24 6,933 6,923 101,85 101,85 706,12605 705,10755 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-25 6,95 6,94 102,12 102,12 709,734 708,7128 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-26 6,995 6,985 102,99 102,99 720,41505 719,38515 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-27 6,93 6,92 103,18 103,18 715,0374 714,0056 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-28 6,985 6,975 102,6 102,6 716,661 715,635 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-01-31 6,998 6,988 102,37 102,37 716,38526 715,36156 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-01 6,993 6,983 102,75 102,75 718,53075 717,50325 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-02 6,953 6,943 102,86 102,86 715,18558 714,15698 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-03 6,968 6,958 102,45 102,45 713,8716 712,8471 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-04 7,01 7 103,65 103,65 726,5865 725,55 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-07 7,065 7,055 103,15 103,15 728,75475 727,72325 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-08 7,123 7,113 103,02 103,02 733,81146 732,78126 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-09 7,1 7,09 102,42 102,42 727,182 726,1578 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-10 7,088 7,078 103,2 103,2 731,4816 730,4496 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-11 7,068 7,058 103,88 103,88 734,22384 733,18504 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-14 7,03 7,02 104,32 104,32 733,3696 732,3264 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-15 7,005 6,995 104,41 104,41 731,39205 730,34795 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-16 6,973 6,963 104,14 104,14 726,16822 725,12682 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-17 6,97 6,96 104,11 104,11 725,6467 724,6056 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-18 6,965 6,955 105,22 105,22 732,8573 731,8051 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-22 6,905 6,895 105,56 105,56 728,8918 727,8362 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-23 6,895 6,885 105,38 105,38 726,5951 725,5413 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-24 6,858 6,848 105,83 105,83 725,78214 724,72384 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-25 6,885 6,875 106,61 106,61 734,00985 732,94375 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-02-28 6,828 6,818 106,25 106,25 725,475 724,4125 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-01 6,87 6,86 106,96 106,96 734,8152 733,7456 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-02 6,888 6,878 107,21 107,21 738,46248 737,39038 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-03 6,903 6,893 107,37 107,37 741,17511 740,10141 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-04 6,9 6,89 108,26 108,26 746,994 745,9114 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-07 6,84 6,83 108,27 108,27 740,5668 739,4841 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-08 6,825 6,815 107,91 107,91 736,48575 735,40665 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-09 6,76 6,75 107,3 107,3 725,348 724,275 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-10 6,745 6,735 107,71 107,71 726,50395 725,42685 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-11 6,765 6,755 107,14 107,14 724,8021 723,7307 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-14 6,76 6,75 107,13 107,13 724,1988 723,1275 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-15 6,815 6,805 106,96 106,96 728,9324 727,8628 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-16 6,81 6,8 106,64 106,64 726,2184 725,152 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-17 6,795 6,785 106,53 106,53 723,87135 722,80605 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-18 6,828 6,818 106,23 106,23 725,33844 724,27614 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-21 6,908 6,898 105,54 105,54 729,07032 728,01492 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-22 6,928 6,918 105,68 105,68 732,15104 731,09424 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-23 6,973 6,963 105,88 105,88 738,30124 737,24244 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-24 7,008 6,998 105,88 105,88 742,00704 740,94824 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-29 7,055 7,045 105,24 105,24 742,4682 741,4158 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-30 7,053 7,043 106,44 106,44 750,72132 749,65692 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-03-31 7,065 7,055 105,94 105,94 748,4661 747,4067 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-01 7,07 7,06 105,48 105,48 745,7436 744,6888 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-04 7,113 7,103 105,19 105,19 748,21647 747,16457 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-05 7,163 7,153 106,99 106,99 766,36937 765,29947 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-06 7,125 7,115 107,58 107,58 766,5075 765,4317 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-07 7,083 7,073 108,43 108,43 768,00969 766,92539 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-08 7,153 7,143 107,92 107,92 771,95176 770,87256 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-11 7,098 7,088 107,98 107,98 766,44204 765,36224 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-12 7,048 7,038 108,01 108,01 761,25448 760,17438 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-13 7,075 7,065 108,63 108,63 768,55725 767,47095 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-14 7,12 7,11 108,29 108,29 771,0248 769,9419 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-15 7,17 7,16 109,23 109,23 783,1791 782,0868 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-18 7,08 7,07 108,27 108,27 766,5516 765,4689 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-19 7,068 7,058 108,98 108,98 770,27064 769,18084 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-20 7,043 7,033 108,26 108,26 762,47518 761,39258 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-21 7,025 7,015 108,96 108,96 765,444 764,3544 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-22 7,023 7,013 108,98 108,98 765,36654 764,27674 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-25 7,04 7,03 108,94 108,94 766,9376 765,8482 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-26 7,035 7,025 108,77 108,77 765,19695 764,10925 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-27 7,085 7,075 108,96 108,96 771,9816 770,892 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-28 7,085 7,075 108,8 108,8 770,848 769,76 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-04-29 7,08 7,07 109,61 109,61 776,0388 774,9427 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-02 7,15 7,14 109,64 109,64 783,926 782,8296 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-03 7,178 7,168 110,46 110,46 792,88188 791,77728 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-04 7,11 7,1 111,35 111,35 791,6985 790,585 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-06 7,085 7,075 111,24 111,24 788,1354 787,023 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-09 7,168 7,158 111,5 111,5 799,232 798,117 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-10 7,178 7,168 111,09 111,09 797,40402 796,29312 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-11 7,15 7,14 111,04 111,04 793,936 792,8256 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-12 7,243 7,233 110,74 110,74 802,08982 800,98242 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-13 7,265 7,255 110,15 110,15 800,23975 799,13825 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-17 7,313 7,303 110,4 110,4 807,3552 806,2512 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-18 7,3 7,29 110,54 110,54 806,942 805,8366 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-19 7,26 7,25 110,65 110,65 803,319 802,2125 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-20 7,28 7,27 110,27 110,27 802,7656 801,6629 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-23 7,32 7,31 110,74 110,74 810,6168 809,5094 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-24 7,295 7,285 111,1 111,1 810,4745 809,3635 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-25 7,298 7,288 110,72 110,72 808,03456 806,92736 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-26 7,33 7,32 110,98 110,98 813,4834 812,3736 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-27 7,338 7,328 111 111 814,518 813,408 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-05-31 7,403 7,393 110 110 814,33 813,23 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-01 7,428 7,418 110,74 110,74 822,57672 821,46932 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-02 7,473 7,463 110,9 110,9 828,7557 827,6467 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-03 7,438 7,428 110,33 110,33 820,63454 819,53124 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-07 7,448 7,438 110,52 110,52 823,15296 822,04776 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-08 7,435 7,425 110,03 110,03 818,07305 816,97275 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-09 7,523 7,513 110,22 110,22 829,18506 828,08286 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-10 7,525 7,515 109,68 109,68 825,342 824,2452 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-13 7,643 7,633 110,02 110,02 840,88286 839,78266 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-14 7,663 7,653 110,65 110,65 847,91095 846,80445 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-15 7,693 7,683 110,4 110,4 849,3072 848,2032 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-16 7,678 7,668 110,6 110,6 849,1868 848,0808 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-17 7,643 7,633 111,67 111,67 853,49381 852,37711 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-20 7,543 7,533 111,51 111,51 841,11993 840,00483 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-21 7,648 7,638 111,59 111,59 853,44032 852,32442 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-22 7,608 7,598 111,16 111,16 845,70528 844,59368 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-27 7,73 7,72 109,69 109,69 847,9037 846,8068 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-28 7,76 7,75 110,63 110,63 858,4888 857,3825 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-29 7,833 7,823 110,72 110,72 867,26976 866,16256 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-06-30 7,823 7,813 110,41 110,41 863,73743 862,63333 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-01 7,858 7,848 110,06 110,06 864,85148 863,75088 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-05 7,963 7,953 110,21 110,21 877,60223 876,50013 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-06 7,895 7,885 109,93 109,93 867,89735 866,79805 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-07 7,878 7,868 109,78 109,78 864,84684 863,74904 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-08 7,913 7,903 110,79 110,79 876,68127 875,57337 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-11 7,89 7,88 111,65 111,65 880,9185 879,802 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-12 7,77 7,76 111,74 111,74 868,2198 867,1024 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-13 7,703 7,693 111,25 111,25 856,95875 855,84625 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-14 7,76 7,75 111,8 111,8 867,568 866,45 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-15 7,76 7,75 112,41 112,41 872,3016 871,1775 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-18 7,78 7,77 111,74 111,74 869,3372 868,2198 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-19 7,878 7,868 111,26 111,26 876,50628 875,39368 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-20 7,818 7,808 112,65 112,65 880,6977 879,5712 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-21 7,775 7,765 112,47 112,47 874,45425 873,32955 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-22 7,758 7,748 112,25 112,25 870,8355 869,713 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-25 7,838 7,828 111,62 111,62 874,87756 873,76136 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-26 7,818 7,808 111,78 111,78 873,89604 872,77824 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-27 7,905 7,895 112,52 112,52 889,4706 888,3454 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-28 7,848 7,838 113,68 113,68 892,16064 891,02384 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-07-29 7,748 7,738 113,47 113,47 879,16556 878,03086 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-01 7,72 7,71 114,53 114,53 884,1716 883,0263 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-02 7,7 7,69 115,28 115,28 887,656 886,5032 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-03 7,685 7,675 115,68 115,68 889,0008 887,844 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-04 7,618 7,608 114,79 114,79 874,47022 873,32232 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-05 7,548 7,538 113,77 113,77 858,73596 857,59826 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-08 7,558 7,548 113,37 113,37 856,85046 855,71676 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-09 7,548 7,538 114,05 114,05 860,8494 859,7089 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-10 7,558 7,548 114,19 114,19 863,04802 861,90612 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-11 7,523 7,513 114,93 114,93 864,61839 863,46909 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-12 7,46 7,45 114,49 114,49 854,0954 852,9505 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-16 7,523 7,513 113,73 113,73 855,59079 854,45349 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-17 7,605 7,595 113,88 113,88 866,0574 864,9186 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-18 7,61 7,6 113,93 113,93 867,0073 865,868 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-19 7,698 7,688 113,94 113,94 877,11012 875,97072 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-22 7,69 7,68 113,96 113,96 876,3524 875,2128 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-23 7,663 7,653 113,55 113,55 870,13365 868,99815 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-24 7,673 7,663 113,21 113,21 868,66033 867,52823 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-25 7,588 7,578 113,47 113,47 861,01036 859,87566 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-26 7,578 7,568 112,93 112,93 855,78354 854,65424 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-29 7,573 7,563 113,54 113,54 859,83842 858,70302 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-30 7,633 7,623 113,22 113,22 864,20826 863,07606 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-08-31 7,668 7,658 114,64 114,64 879,05952 877,91312 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-01 7,568 7,558 115,48 115,48 873,95264 872,79784 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-02 7,435 7,425 115,73 115,73 860,45255 859,29525 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-06 7,485 7,475 117,09 117,09 876,41865 875,24775 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-07 7,43 7,42 117,94 117,94 876,2942 875,1148 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-08 7,498 7,488 117,55 117,55 881,3899 880,2144 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-09 7,523 7,513 118,24 118,24 889,51952 888,33712 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-12 7,555 7,545 117,71 117,71 889,29905 888,12195 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-13 7,57 7,56 116,65 116,65 883,0405 881,874 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-14 7,61 7,6 116,99 116,99 890,2939 889,124 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-15 7,658 7,648 116,73 116,73 893,91834 892,75104 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-16 7,613 7,603 117,53 117,53 894,75589 893,58059 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-19 7,698 7,688 116,88 116,88 899,74224 898,57344 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-20 7,688 7,678 116,64 116,64 896,72832 895,56192 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-21 7,663 7,653 116,02 116,02 889,06126 887,90106 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-22 7,648 7,638 115,86 115,86 886,09728 884,93868 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-23 7,733 7,723 115,77 115,77 895,24941 894,09171 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-26 7,798 7,788 115,96 115,96 904,25608 903,09648 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-27 7,825 7,815 115,24 115,24 901,753 900,6006 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-28 7,81 7,8 115,4 115,4 901,274 900,12 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-29 7,785 7,775 115,84 115,84 901,8144 900,656 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-09-30 7,785 7,775 116,6 116,6 907,731 906,565 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-03 7,783 7,773 116,64 116,64 907,80912 906,64272 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-04 7,82 7,81 117,32 117,32 917,4424 916,2692 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-05 7,795 7,785 116,43 116,43 907,57185 906,40755 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-06 7,713 7,703 115,84 115,84 893,47392 892,31552 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-07 7,683 7,673 115,7 115,7 888,9231 887,7661 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-10 7,698 7,688 115,31 115,31 887,65638 886,50328 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-11 7,77 7,76 114,73 114,73 891,4521 890,3048 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-12 7,805 7,795 114,52 114,52 893,8286 892,6834 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-13 7,83 7,82 114,47 114,47 896,3001 895,1554 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-14 7,833 7,823 115,43 115,43 904,16319 903,00889 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-17 7,835 7,825 115,08 115,08 901,6518 900,501 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-18 7,893 7,883 115,19 115,19 909,19467 908,04277 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-19 7,96 7,95 116,06 116,06 923,8376 922,677 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-20 7,93 7,92 114,52 114,52 908,1436 906,9984 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-21 7,883 7,873 113,91 113,91 897,95253 896,81343 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-24 7,995 7,985 114,96 114,96 919,1052 917,9556 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-25 7,99 7,98 114,84 114,84 917,5716 916,4232 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-26 7,868 7,858 113,97 113,97 896,71596 895,57626 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-27 7,868 7,858 113,3 113,3 891,4444 890,3114 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-28 7,825 7,815 114,17 114,17 893,38025 892,23855 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-10-31 7,905 7,895 114,67 114,67 906,46635 905,31965 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-02 7,98 7,97 115,09 115,09 918,4182 917,2673 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-03 8,01 8 115,61 115,61 926,0361 924,88 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-04 8,028 8,018 115,53 115,53 927,47484 926,31954 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-07 8,135 8,125 115,87 115,87 942,60245 941,44375 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-08 8,17 8,16 115,73 115,73 945,5141 944,3568 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-09 8,12 8,11 115,44 115,44 937,3728 936,2184 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-10 8,173 8,163 116,26 116,26 950,19298 949,03038 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-11 8,235 8,225 116,79 116,79 961,76565 960,59775 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-14 8,133 8,123 115,68 115,68 940,82544 939,66864 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-15 8,185 8,175 116,14 116,14 950,6059 949,4445 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-16 8,21 8,2 115,82 115,82 950,8822 949,724 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-17 8,258 8,248 116,32 116,32 960,57056 959,40736 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-18 8,223 8,213 116,76 116,76 960,11748 958,94988 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-21 8,123 8,113 116,86 116,86 949,25378 948,08518 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-22 8,15 8,14 116,8 116,8 951,92 950,752 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-23 8,048 8,038 117,17 117,17 942,98416 941,81246 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-25 8,078 8,068 116,84 116,84 943,83352 942,66512 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-28 8,118 8,108 115,63 115,63 938,68434 937,52804 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-29 8,015 8,005 115,71 115,71 927,41565 926,25855 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-11-30 8,088 8,078 115,33 115,33 932,78904 931,63574 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-01 8,083 8,073 116,37 116,37 940,61871 939,45501 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-02 8,103 8,093 117,29 117,29 950,40087 949,22797 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-05 8,045 8,035 117,4 117,4 944,483 943,309 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-06 7,993 7,983 117,24 117,24 937,09932 935,92692 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-07 8,015 8,005 116,96 116,96 937,4344 936,2648 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-08 7,988 7,978 117,57 117,57 939,14916 937,97346 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-12 7,953 7,943 117,97 117,97 938,21541 937,03571 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-13 7,905 7,895 118,86 118,86 939,5883 938,3997 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-14 7,848 7,838 119,15 119,15 935,0892 933,8977 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-15 7,858 7,848 118,81 118,81 933,60898 932,42088 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-16 7,903 7,893 119,11 119,11 941,32633 940,13523 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-19 7,865 7,855 119,63 119,63 940,88995 939,69365 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-20 7,848 7,838 119,21 119,21 935,56008 934,36798 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-21 7,948 7,938 119,3 119,3 948,1964 947,0034 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-22 7,98 7,97 120,14 120,14 958,7172 957,5158 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-23 7,955 7,945 120,35 120,35 957,38425 956,18075 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-27 8,01 8 119,92 119,92 960,5592 959,36 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-28 7,915 7,905 120,05 120,05 950,19575 948,99525 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-29 7,938 7,928 119,79 119,79 950,89302 949,69512 579136 UBS AG UBS (Lux) Equity Fund - Health Care USD 2005-12-30 7,958 7,948 118,99 118,99 946,92242 945,73252 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-12 0,06595 0,06585 20781 20781 1370,50695 1368,42885 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-13 0,06585 0,06575 20858 20858 1373,4993 1371,4135 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-14 0,0662 0,0661 20867 20867 1381,3954 1379,3087 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-15 0,06745 0,06735 20861 20861 1407,07445 1404,98835 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-16 0,06805 0,06795 20802 20802 1415,5761 1413,4959 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-19 0,06765 0,06755 21067 21067 1425,18255 1423,07585 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-20 0,06735 0,06725 21522 21522 1449,5067 1447,3545 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-21 0,06795 0,06785 21903 21903 1488,30885 1486,11855 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-22 0,06795 0,06785 22075 22075 1499,99625 1497,78875 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-27 0,06855 0,06845 22681 22681 1554,78255 1552,51445 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-28 0,06765 0,06755 22929 22929 1551,14685 1548,85395 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-29 0,0674 0,0673 23199 23199 1563,6126 1561,2927 944637 UBS AG UBS (Lux) Equity Fund - Small & Mid Caps Japan JPY 2005-12-30 0,06785 0,06775 23280 23280 1579,548 1577,22 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-12 7,953 7,943 415,8 415,8 3306,8574 3302,6994 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-13 7,905 7,895 416,3 416,3 3290,8515 3286,6885 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-14 7,848 7,838 418,28 418,28 3282,66144 3278,47864 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-15 7,858 7,848 414,3 414,3 3255,5694 3251,4264 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-16 7,903 7,893 412,46 412,46 3259,67138 3255,54678 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-19 7,865 7,855 407,42 407,42 3204,3583 3200,2841 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-20 7,848 7,838 407,97 407,97 3201,74856 3197,66886 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-21 7,948 7,938 412,9 412,9 3281,7292 3277,6002 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-22 7,98 7,97 414,49 414,49 3307,6302 3303,4853 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-23 7,955 7,945 414,93 414,93 3300,76815 3296,61885 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-27 8,01 8 409,51 409,51 3280,1751 3276,08 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-28 7,915 7,905 411,54 411,54 3257,3391 3253,2237 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-29 7,938 7,928 411,31 411,31 3264,97878 3260,86568 837146 UBS AG UBS (Lux) Equity Fund - Small Caps USA USD 2005-12-30 7,958 7,948 409,49 409,49 3258,72142 3254,62652 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-03 6,668 6,658 143,46 143,46 956,59128 955,15668 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-04 6,728 6,718 140,21 140,21 943,33288 941,93078 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-05 6,828 6,818 139,09 139,09 949,70652 948,31562 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-07 6,87 6,86 138,51 138,51 951,5637 950,1786 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-10 6,96091 6,95091 138,87 138,87 966,6615717 965,2728717 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-11 6,96091 6,95091 137,34 137,34 956,0113794 954,6379794 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-12 6,913 6,903 137,97 137,97 953,78661 952,40691 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-13 6,843 6,833 136,54 136,54 934,34322 932,97782 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-14 6,915 6,905 137,99 137,99 954,20085 952,82095 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-18 6,968 6,958 138,84 138,84 967,43712 966,04872 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-19 6,91 6,9 136,3 136,3 941,833 940,47 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-20 6,96 6,95 134,69 134,69 937,4424 936,0955 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-21 6,978 6,968 133,22 133,22 929,60916 928,27696 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-24 6,933 6,923 131,68 131,68 912,93744 911,62064 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-25 6,95 6,94 132,05 132,05 917,7475 916,427 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-26 6,995 6,985 134,45 134,45 940,47775 939,13325 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-27 6,93 6,92 134,99 134,99 935,4807 934,1308 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-28 6,985 6,975 134,31 134,31 938,15535 936,81225 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-01-31 6,998 6,988 135,83 135,83 950,53834 949,18004 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-01 6,993 6,983 136,28 136,28 953,00604 951,64324 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-02 6,953 6,943 136,38 136,38 948,25014 946,88634 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-03 6,968 6,958 134,73 134,73 938,79864 937,45134 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-04 7,01 7 137,44 137,44 963,4544 962,08 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-07 7,065 7,055 137,24 137,24 969,6006 968,2282 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-08 7,123 7,113 136,95 136,95 975,49485 974,12535 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-09 7,1 7,09 135,74 135,74 963,754 962,3966 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-10 7,088 7,078 135,56 135,56 960,84928 959,49368 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-11 7,068 7,058 137,14 137,14 969,30552 967,93412 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-14 7,03 7,02 137,43 137,43 966,1329 964,7586 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-15 7,005 6,995 138,28 138,28 968,6514 967,2686 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-16 6,973 6,963 137,34 137,34 957,67182 956,29842 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-17 6,97 6,96 135,89 135,89 947,1533 945,7944 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-18 6,965 6,955 135,74 135,74 945,4291 944,0717 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-22 6,905 6,895 134,71 134,71 930,17255 928,82545 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-23 6,895 6,885 134,46 134,46 927,1017 925,7571 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-24 6,858 6,848 135,63 135,63 930,15054 928,79424 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-25 6,885 6,875 136,99 136,99 943,17615 941,80625 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-02-28 6,828 6,818 136,77 136,77 933,86556 932,49786 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-01 6,87 6,86 137,95 137,95 947,7165 946,337 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-02 6,888 6,878 137,67 137,67 948,27096 946,89426 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-03 6,903 6,893 136,6 136,6 942,9498 941,5838 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-04 6,9 6,89 136,93 136,93 944,817 943,4477 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-07 6,84 6,83 138,73 138,73 948,9132 947,5259 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-08 6,825 6,815 137,61 137,61 939,18825 937,81215 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-09 6,76 6,75 137,02 137,02 926,2552 924,885 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-10 6,745 6,735 136,94 136,94 923,6603 922,2909 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-11 6,765 6,755 135,14 135,14 914,2221 912,8707 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-14 6,76 6,75 135,45 135,45 915,642 914,2875 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-15 6,815 6,805 134,08 134,08 913,7552 912,4144 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-16 6,81 6,8 132,92 132,92 905,1852 903,856 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-17 6,795 6,785 133,24 133,24 905,3658 904,0334 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-18 6,828 6,818 132,22 132,22 902,79816 901,47596 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-21 6,908 6,898 131,9 131,9 911,1652 909,8462 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-22 6,928 6,918 130,34 130,34 902,99552 901,69212 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-23 6,973 6,963 130,22 130,22 908,02406 906,72186 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-24 7,008 6,998 130,36 130,36 913,56288 912,25928 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-29 7,055 7,045 129,1 129,1 910,8005 909,5095 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-30 7,053 7,043 131,33 131,33 926,27049 924,95719 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-03-31 7,065 7,055 130,95 130,95 925,16175 923,85225 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-01 7,07 7,06 130,23 130,23 920,7261 919,4238 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-04 7,113 7,103 130,4 130,4 927,5352 926,2312 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-05 7,163 7,153 130,17 130,17 932,40771 931,10601 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-06 7,125 7,115 129,87 129,87 925,32375 924,02505 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-07 7,083 7,073 131,29 131,29 929,92707 928,61417 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-08 7,153 7,143 130,26 130,26 931,74978 930,44718 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-11 7,098 7,088 129,79 129,79 921,24942 919,95152 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-12 7,048 7,038 129,79 129,79 914,75992 913,46202 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-13 7,075 7,065 127,94 127,94 905,1755 903,8961 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-14 7,12 7,11 126,18 126,18 898,4016 897,1398 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-15 7,17 7,16 122,43 122,43 877,8231 876,5988 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-18 7,08 7,07 122,42 122,42 866,7336 865,5094 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-19 7,068 7,058 124,22 124,22 877,98696 876,74476 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-20 7,043 7,033 123,39 123,39 869,03577 867,80187 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-21 7,025 7,015 126,21 126,21 886,62525 885,36315 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-22 7,023 7,013 124,93 124,93 877,38339 876,13409 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-25 7,04 7,03 126,17 126,17 888,2368 886,9751 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-26 7,035 7,025 124,5 124,5 875,8575 874,6125 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-27 7,085 7,075 124,16 124,16 879,6736 878,432 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-28 7,085 7,075 122,28 122,28 866,3538 865,131 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-04-29 7,08 7,07 123,16 123,16 871,9728 870,7412 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-02 7,15 7,14 123,3 123,3 881,595 880,362 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-03 7,178 7,168 123,86 123,86 889,06708 887,82848 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-04 7,11 7,1 125,99 125,99 895,7889 894,529 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-06 7,085 7,075 126,31 126,31 894,90635 893,64325 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-09 7,168 7,158 126,95 126,95 909,9776 908,7081 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-10 7,178 7,168 125,52 125,52 900,98256 899,72736 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-11 7,15 7,14 126,18 126,18 902,187 900,9252 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-12 7,243 7,233 126,2 126,2 914,0666 912,8046 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-13 7,265 7,255 128,21 128,21 931,44565 930,16355 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-17 7,313 7,303 129,62 129,62 947,91106 946,61486 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-18 7,3 7,29 131,49 131,49 959,877 958,5621 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-19 7,26 7,25 132,5 132,5 961,95 960,625 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-20 7,28 7,27 132,72 132,72 966,2016 964,8744 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-23 7,32 7,31 133,29 133,29 975,6828 974,3499 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-24 7,295 7,285 133,57 133,57 974,39315 973,05745 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-25 7,298 7,288 132,95 132,95 970,2691 968,9396 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-26 7,33 7,32 134,35 134,35 984,7855 983,442 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-27 7,338 7,328 134,38 134,38 986,08044 984,73664 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-05-31 7,403 7,393 134,04 134,04 992,29812 990,95772 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-01 7,428 7,418 135,28 135,28 1004,85984 1003,50704 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-02 7,473 7,463 135,65 135,65 1013,71245 1012,35595 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-03 7,438 7,428 134,17 134,17 997,95646 996,61476 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-07 7,448 7,438 133,38 133,38 993,41424 992,08044 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-08 7,435 7,425 133,21 133,21 990,41635 989,08425 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-09 7,523 7,513 134,02 134,02 1008,23246 1006,89226 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-10 7,525 7,515 133,15 133,15 1001,95375 1000,62225 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-13 7,643 7,633 133,51 133,51 1020,41693 1019,08183 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-14 7,663 7,653 132,72 132,72 1017,03336 1015,70616 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-15 7,693 7,683 133,06 133,06 1023,63058 1022,29998 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-16 7,678 7,668 133,63 133,63 1026,01114 1024,67484 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-17 7,643 7,633 133,84 133,84 1022,93912 1021,60072 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-20 7,543 7,533 133,87 133,87 1009,78141 1008,44271 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-21 7,648 7,638 134,58 134,58 1029,26784 1027,92204 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-22 7,608 7,598 134,82 134,82 1025,71056 1024,36236 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-27 7,73 7,72 131,18 131,18 1014,0214 1012,7096 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-28 7,76 7,75 132,06 132,06 1024,7856 1023,465 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-29 7,833 7,823 131,85 131,85 1032,78105 1031,46255 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-06-30 7,823 7,813 130,84 130,84 1023,56132 1022,25292 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-01 7,858 7,848 130,77 130,77 1027,59066 1026,28296 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-05 7,963 7,953 131,27 131,27 1045,30301 1043,99031 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-06 7,895 7,885 131,32 131,32 1036,7714 1035,4582 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-07 7,878 7,868 131,1 131,1 1032,8058 1031,4948 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-08 7,913 7,903 133,41 133,41 1055,67333 1054,33923 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-11 7,89 7,88 135,01 135,01 1065,2289 1063,8788 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-12 7,77 7,76 135,67 135,67 1054,1559 1052,7992 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-13 7,703 7,693 136,13 136,13 1048,60939 1047,24809 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-14 7,76 7,75 136,9 136,9 1062,344 1060,975 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-15 7,76 7,75 136,8 136,8 1061,568 1060,2 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-18 7,78 7,77 135,99 135,99 1058,0022 1056,6423 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-19 7,878 7,868 137,65 137,65 1084,4067 1083,0302 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-20 7,818 7,808 137,7 137,7 1076,5386 1075,1616 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-21 7,775 7,765 136,71 136,71 1062,92025 1061,55315 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-22 7,758 7,748 136,44 136,44 1058,50152 1057,13712 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-25 7,838 7,828 135,78 135,78 1064,24364 1062,88584 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-26 7,818 7,808 135,98 135,98 1063,09164 1061,73184 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-27 7,905 7,895 137,22 137,22 1084,7241 1083,3519 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-28 7,848 7,838 136,93 136,93 1074,62664 1073,25734 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-07-29 7,748 7,738 136,2 136,2 1055,2776 1053,9156 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-01 7,72 7,71 136,39 136,39 1052,9308 1051,5669 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-02 7,7 7,69 137,6 137,6 1059,52 1058,144 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-03 7,685 7,675 138,12 138,12 1061,4522 1060,071 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-04 7,618 7,608 137,34 137,34 1046,25612 1044,88272 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-05 7,548 7,538 136,71 136,71 1031,88708 1030,51998 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-08 7,558 7,548 136,48 136,48 1031,51584 1030,15104 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-09 7,548 7,538 137,41 137,41 1037,17068 1035,79658 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-10 7,558 7,548 136,3 136,3 1030,1554 1028,7924 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-11 7,523 7,513 137,43 137,43 1033,88589 1032,51159 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-12 7,46 7,45 136,56 136,56 1018,7376 1017,372 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-16 7,523 7,513 135,68 135,68 1020,72064 1019,36384 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-17 7,605 7,595 136,99 136,99 1041,80895 1040,43905 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-18 7,61 7,6 136,18 136,18 1036,3298 1034,968 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-19 7,698 7,688 136,32 136,32 1049,39136 1048,02816 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-22 7,69 7,68 136,41 136,41 1048,9929 1047,6288 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-23 7,663 7,653 136,5 136,5 1045,9995 1044,6345 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-24 7,673 7,663 135,62 135,62 1040,61226 1039,25606 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-25 7,588 7,578 135,69 135,69 1029,61572 1028,25882 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-26 7,578 7,568 135,2 135,2 1024,5456 1023,1936 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-29 7,573 7,563 135,6 135,6 1026,8988 1025,5428 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-30 7,633 7,623 135,15 135,15 1031,59995 1030,24845 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-08-31 7,668 7,658 136,16 136,16 1044,07488 1042,71328 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-01 7,568 7,558 136,06 136,06 1029,70208 1028,34148 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-02 7,435 7,425 135,86 135,86 1010,1191 1008,7605 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-06 7,485 7,475 137,15 137,15 1026,56775 1025,19625 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-07 7,43 7,42 137,6 137,6 1022,368 1020,992 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-08 7,498 7,488 137,23 137,23 1028,95054 1027,57824 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-09 7,523 7,513 138,34 138,34 1040,73182 1039,34842 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-12 7,555 7,545 138,65 138,65 1047,50075 1046,11425 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-13 7,57 7,56 138,69 138,69 1049,8833 1048,4964 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-14 7,61 7,6 137,64 137,64 1047,4404 1046,064 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-15 7,658 7,648 137,05 137,05 1049,5289 1048,1584 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-16 7,613 7,603 137,69 137,69 1048,23397 1046,85707 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-19 7,698 7,688 136,91 136,91 1053,93318 1052,56408 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-20 7,688 7,678 136,05 136,05 1045,9524 1044,5919 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-21 7,663 7,653 134,81 134,81 1033,04903 1031,70093 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-22 7,648 7,638 134,68 134,68 1030,03264 1028,68584 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-23 7,733 7,723 134,84 134,84 1042,71772 1041,36932 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-26 7,798 7,788 135,18 135,18 1054,13364 1052,78184 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-27 7,825 7,815 134,37 134,37 1051,44525 1050,10155 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-28 7,81 7,8 134,99 134,99 1054,2719 1052,922 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-29 7,785 7,775 136,29 136,29 1061,01765 1059,65475 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-09-30 7,785 7,775 137,43 137,43 1069,89255 1068,51825 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-03 7,783 7,773 137,61 137,61 1071,01863 1069,64253 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-04 7,82 7,81 136,87 136,87 1070,3234 1068,9547 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-05 7,795 7,785 135,12 135,12 1053,2604 1051,9092 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-06 7,713 7,703 133,71 133,71 1031,30523 1029,96813 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-07 7,683 7,673 134,2 134,2 1031,0586 1029,7166 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-10 7,698 7,688 132,77 132,77 1022,06346 1020,73576 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-11 7,77 7,76 131,92 131,92 1025,0184 1023,6992 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-12 7,805 7,795 130,95 130,95 1022,06475 1020,75525 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-13 7,83 7,82 131,45 131,45 1029,2535 1027,939 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-14 7,833 7,823 132,25 132,25 1035,91425 1034,59175 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-17 7,835 7,825 132,94 132,94 1041,5849 1040,2555 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-18 7,893 7,883 132,36 132,36 1044,71748 1043,39388 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-19 7,96 7,95 133,56 133,56 1063,1376 1061,802 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-20 7,93 7,92 132,66 132,66 1051,9938 1050,6672 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-21 7,883 7,873 133,27 133,27 1050,56741 1049,23471 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-24 7,995 7,985 134,91 134,91 1078,60545 1077,25635 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-25 7,99 7,98 134,14 134,14 1071,7786 1070,4372 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-26 7,868 7,858 133,25 133,25 1048,411 1047,0785 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-27 7,868 7,858 131,53 131,53 1034,87804 1033,56274 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-28 7,825 7,815 132,14 132,14 1033,9955 1032,6741 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-10-31 7,905 7,895 134 134 1059,27 1057,93 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-02 7,98 7,97 135,34 135,34 1080,0132 1078,6598 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-03 8,01 8 136,44 136,44 1092,8844 1091,52 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-04 8,028 8,018 136,82 136,82 1098,39096 1097,02276 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-07 8,135 8,125 137,27 137,27 1116,69145 1115,31875 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-08 8,17 8,16 137,42 137,42 1122,7214 1121,3472 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-09 8,12 8,11 137,57 137,57 1117,0684 1115,6927 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-10 8,173 8,163 138,34 138,34 1130,65282 1129,26942 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-11 8,235 8,225 138,57 138,57 1141,12395 1139,73825 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-14 8,133 8,123 138,72 138,72 1128,20976 1126,82256 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-15 8,185 8,175 138,14 138,14 1130,6759 1129,2945 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-16 8,21 8,2 138,6 138,6 1137,906 1136,52 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-17 8,258 8,248 141,02 141,02 1164,54316 1163,13296 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-18 8,223 8,213 141,45 141,45 1163,14335 1161,72885 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-21 8,123 8,113 141,95 141,95 1153,05985 1151,64035 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-22 8,15 8,14 142,44 142,44 1160,886 1159,4616 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-23 8,048 8,038 143,32 143,32 1153,43936 1152,00616 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-25 8,078 8,068 143,8 143,8 1161,6164 1160,1784 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-28 8,118 8,108 142,93 142,93 1160,30574 1158,87644 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-29 8,015 8,005 142,47 142,47 1141,89705 1140,47235 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-11-30 8,088 8,078 142,66 142,66 1153,83408 1152,40748 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-01 8,083 8,073 145,17 145,17 1173,40911 1171,95741 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-02 8,103 8,093 145,35 145,35 1177,77105 1176,31755 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-05 8,045 8,035 143,96 143,96 1158,1582 1156,7186 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-06 7,993 7,983 144,38 144,38 1154,02934 1152,58554 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-07 8,015 8,005 143,86 143,86 1153,0379 1151,5993 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-08 7,988 7,978 143,15 143,15 1143,4822 1142,0507 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-12 7,953 7,943 145,31 145,31 1155,65043 1154,19733 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-13 7,905 7,895 145,61 145,61 1151,04705 1149,59095 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-14 7,848 7,838 145,61 145,61 1142,74728 1141,29118 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-15 7,858 7,848 145,24 145,24 1141,29592 1139,84352 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-16 7,903 7,893 145,17 145,17 1147,27851 1145,82681 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-19 7,865 7,855 143,22 143,22 1126,4253 1124,9931 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-20 7,848 7,838 142,98 142,98 1122,10704 1120,67724 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-21 7,948 7,938 143,37 143,37 1139,50476 1138,07106 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-22 7,98 7,97 144,55 144,55 1153,509 1152,0635 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-23 7,955 7,945 144,9 144,9 1152,6795 1151,2305 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-27 8,01 8 143,19 143,19 1146,9519 1145,52 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-28 7,915 7,905 143,19 143,19 1133,34885 1131,91695 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-29 7,938 7,928 142,71 142,71 1132,83198 1131,40488 614966 UBS AG UBS (Lux) Equity Fund - Technology USD 2005-12-30 7,958 7,948 141,77 141,77 1128,20566 1126,78796 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-03 9,0065 9,0015 44,85 44,85 403,941525 403,717275 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-04 9,0345 9,0295 45,1 45,1 407,45595 407,23045 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-05 9,0615 9,0565 45 45 407,7675 407,5425 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-07 9,0615 9,0565 45,6 45,6 413,2044 412,9764 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-10 9,08619 9,08119 45,42 45,42 412,6947498 412,4676498 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-11 9,08619 9,08119 45,06 45,06 409,4237214 409,1984214 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-12 9,0455 9,0405 44,66 44,66 403,97203 403,74873 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-13 9,0505 9,0455 44,7 44,7 404,55735 404,33385 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-14 9,0455 9,0405 44,66 44,66 403,97203 403,74873 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-17 9,0685 9,0635 44,71 44,71 405,452635 405,229085 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-18 9,0585 9,0535 44,91 44,91 406,817235 406,592685 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-19 9,0225 9,0175 44,74 44,74 403,66665 403,44295 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-20 9,0315 9,0265 44,44 44,44 401,35986 401,13766 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-21 9,0505 9,0455 44,36 44,36 401,48018 401,25838 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-24 9,0655 9,0605 44,19 44,19 400,604445 400,383495 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-25 9,0715 9,0665 44,29 44,29 401,776735 401,555285 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-26 9,0885 9,0835 44,47 44,47 404,165595 403,943245 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-27 9,0675 9,0625 44,32 44,32 401,8716 401,65 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-28 9,0955 9,0905 44,13 44,13 401,384415 401,163765 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-01-31 9,1075 9,1025 44,33 44,33 403,735475 403,513825 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-01 9,1035 9,0985 44,52 44,52 405,28782 405,06522 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-02 9,0905 9,0855 44,37 44,37 403,345485 403,123635 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-03 9,0695 9,0645 44,57 44,57 404,227615 404,004765 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-04 9,0895 9,0845 45,21 45,21 410,936295 410,710245 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-07 9,0755 9,0705 45,46 45,46 412,57223 412,34493 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-08 9,0895 9,0845 45,49 45,49 413,481355 413,253905 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-09 9,0695 9,0645 45,31 45,31 410,939045 410,712495 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-10 9,0805 9,0755 44,92 44,92 407,89606 407,67146 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-11 9,0935 9,0885 45,22 45,22 411,20807 410,98197 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-14 9,1105 9,1055 45,24 45,24 412,15902 411,93282 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-15 9,0765 9,0715 45,43 45,43 412,345395 412,118245 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-16 9,0705 9,0655 45,23 45,23 410,258715 410,032565 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-17 9,0925 9,0875 44,77 44,77 407,071225 406,847375 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-18 9,0945 9,0895 44,51 44,51 404,796195 404,573645 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-21 9,1185 9,1135 44,42 44,42 405,04377 404,82167 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-22 9,0975 9,0925 43,67 43,67 397,287825 397,069475 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-23 9,1045 9,0995 43,79 43,79 398,686055 398,467105 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-24 9,0715 9,0665 43,65 43,65 395,970975 395,752725 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-25 9,0845 9,0795 44,2 44,2 401,5349 401,3139 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-02-28 9,0505 9,0455 43,77 43,77 396,140385 395,921535 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-01 9,0565 9,0515 44,33 44,33 401,474645 401,252995 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-02 9,0645 9,0595 44,62 44,62 404,45799 404,23489 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-03 9,0675 9,0625 44,51 44,51 403,594425 403,371875 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-04 9,0415 9,0365 44,49 44,49 402,256335 402,033885 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-07 9,0425 9,0375 44,83 44,83 405,375275 405,151125 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-08 9,0345 9,0295 44,24 44,24 399,68628 399,46508 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-09 9,0365 9,0315 44,1 44,1 398,50965 398,28915 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-10 9,0655 9,0605 43,61 43,61 395,346455 395,128405 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-11 9,0795 9,0745 43,39 43,39 393,959505 393,742555 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-14 9,0695 9,0645 43,48 43,48 394,34186 394,12446 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-15 9,1035 9,0985 43,63 43,63 397,185705 396,967555 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-16 9,0975 9,0925 43,1 43,1 392,10225 391,88675 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-17 9,1045 9,0995 43,23 43,23 393,587535 393,371385 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-18 9,1035 9,0985 43,34 43,34 394,54569 394,32899 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-21 9,1265 9,1215 43,32 43,32 395,35998 395,14338 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-22 9,1265 9,1215 43,11 43,11 393,443415 393,227865 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-23 9,1165 9,1115 43,59 43,59 397,388235 397,170285 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-24 9,1135 9,1085 43,91 43,91 400,173785 399,954235 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-29 9,1315 9,1265 43,91 43,91 400,964165 400,744615 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-30 9,1425 9,1375 43,92 43,92 401,5386 401,319 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-03-31 9,1405 9,1355 44,05 44,05 402,639025 402,418775 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-01 9,1645 9,1595 44,12 44,12 404,33774 404,11714 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-04 9,1695 9,1645 44,24 44,24 405,65868 405,43748 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-05 9,1745 9,1695 44,5 44,5 408,26525 408,04275 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-06 9,1705 9,1655 44,53 44,53 408,362365 408,139715 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-07 9,1505 9,1455 44,52 44,52 407,38026 407,15766 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-08 9,1625 9,1575 44,51 44,51 407,822875 407,600325 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-11 9,1705 9,1655 44,29 44,29 406,161445 405,939995 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-12 9,1525 9,1475 44,31 44,31 405,547275 405,325725 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-13 9,1495 9,1445 44,21 44,21 404,499395 404,278345 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-14 9,1685 9,1635 44,35 44,35 406,622975 406,401225 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-15 9,1925 9,1875 43,28 43,28 397,8514 397,635 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-18 9,1805 9,1755 42,75 42,75 392,466375 392,252625 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-19 9,2035 9,1985 42,79 42,79 393,817765 393,603815 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-20 9,1915 9,1865 42,51 42,51 390,730665 390,518115 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-21 9,1855 9,1805 42,83 42,83 393,414965 393,200815 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-22 9,1625 9,1575 42,98 42,98 393,80425 393,58935 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-25 9,1685 9,1635 43,26 43,26 396,62931 396,41301 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-26 9,1375 9,1325 42,99 42,99 392,821125 392,606175 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-27 9,1465 9,1415 42,77 42,77 391,195805 390,981955 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-28 9,1505 9,1455 43,02 43,02 393,65451 393,43941 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-04-29 9,1705 9,1655 43,27 43,27 396,807535 396,591185 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-02 9,1935 9,1885 43,22 43,22 397,34307 397,12697 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-03 9,2245 9,2195 43,27 43,27 399,144115 398,927765 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-04 9,1915 9,1865 43,32 43,32 398,17578 397,95918 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-06 9,1715 9,1665 43,7 43,7 400,79455 400,57605 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-09 9,1815 9,1765 43,64 43,64 400,68066 400,46246 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-10 9,1985 9,1935 43,22 43,22 397,55917 397,34307 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-11 9,2105 9,2055 43,11 43,11 397,064655 396,849105 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-12 9,2315 9,2265 43,4 43,4 400,6471 400,4301 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-13 9,2045 9,1995 43,49 43,49 400,303705 400,086255 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-17 9,2325 9,2275 43,57 43,57 402,260025 402,042175 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-18 9,2095 9,2045 43,83 43,83 403,652385 403,433235 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-19 9,1905 9,1855 44,15 44,15 405,760575 405,539825 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-20 9,1955 9,1905 44,69 44,69 410,946895 410,723445 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-23 9,1805 9,1755 44,98 44,98 412,93889 412,71399 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-24 9,1815 9,1765 44,34 44,34 407,10771 406,88601 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-25 9,1785 9,1735 44,1 44,1 404,77185 404,55135 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-26 9,1945 9,1895 44,42 44,42 408,41969 408,19759 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-27 9,1955 9,1905 44,23 44,23 406,716965 406,495815 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-30 9,1905 9,1855 44,52 44,52 409,16106 408,93846 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-05-31 9,1665 9,1615 44,72 44,72 409,92588 409,70228 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-01 9,1455 9,1405 45,06 45,06 412,09623 411,87093 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-02 9,1565 9,1515 44,88 44,88 410,94372 410,71932 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-03 9,1315 9,1265 44,97 44,97 410,643555 410,418705 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-07 9,1455 9,1405 45,18 45,18 413,19369 412,96779 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-08 9,1455 9,1405 45,06 45,06 412,09623 411,87093 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-09 9,1965 9,1915 45,16 45,16 415,31394 415,08814 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-10 9,1975 9,1925 45,35 45,35 417,106625 416,879875 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-13 9,2365 9,2315 45,64 45,64 421,55386 421,32566 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-14 9,2985 9,2935 45,7 45,7 424,94145 424,71295 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-15 9,2695 9,2645 45,7 45,7 423,61615 423,38765 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-16 9,2695 9,2645 45,88 45,88 425,28466 425,05526 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-17 9,2695 9,2645 45,69 45,69 423,523455 423,295005 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-20 9,2255 9,2205 45,81 45,81 422,620155 422,391105 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-21 9,2725 9,2675 45,88 45,88 425,4223 425,1929 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-22 9,2615 9,2565 45,79 45,79 424,084085 423,855135 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-27 9,3855 9,3805 44,87 44,87 421,127385 420,903035 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-28 9,3995 9,3945 45,35 45,35 426,267325 426,040575 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-29 9,4215 9,4165 45,95 45,95 432,917925 432,688175 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-06-30 9,4415 9,4365 45,87 45,87 433,081605 432,852255 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-01 9,4595 9,4545 46,11 46,11 436,177545 435,946995 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-04 9,4795 9,4745 46,19 46,19 437,858105 437,627155 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-05 9,4575 9,4525 46,12 46,12 436,1799 435,9493 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-06 9,4195 9,4145 46,21 46,21 435,275095 435,044045 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-07 9,3965 9,3915 45,56 45,56 428,10454 427,87674 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-08 9,4175 9,4125 46,12 46,12 434,3351 434,1045 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-11 9,4665 9,4615 46,33 46,33 438,582945 438,351295 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-12 9,4645 9,4595 46,21 46,21 437,354545 437,123495 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-13 9,3915 9,3865 46,39 46,39 435,671685 435,439735 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-14 9,3675 9,3625 46,48 46,48 435,4014 435,169 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-15 9,4055 9,4005 46,64 46,64 438,67252 438,43932 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-18 9,3895 9,3845 46,32 46,32 434,92164 434,69004 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-19 9,4425 9,4375 46,43 46,43 438,415275 438,183125 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-20 9,4265 9,4215 46,38 46,38 437,20107 436,96917 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-21 9,4625 9,4575 46,15 46,15 436,694375 436,463625 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-22 9,4495 9,4445 46,28 46,28 437,32286 437,09146 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-25 9,4275 9,4225 46,47 46,47 438,095925 437,863575 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-26 9,4155 9,4105 47,06 47,06 443,09343 442,85813 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-27 9,4725 9,4675 47,37 47,37 448,712325 448,475475 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-28 9,4515 9,4465 47,71 47,71 450,931065 450,692515 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-07-29 9,3885 9,3835 47,52 47,52 446,14152 445,90392 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-01 9,3985 9,3935 47,6 47,6 447,3686 447,1306 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-02 9,3995 9,3945 47,79 47,79 449,202105 448,963155 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-03 9,3755 9,3705 47,65 47,65 446,742575 446,504325 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-04 9,3735 9,3685 47,25 47,25 442,897875 442,661625 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-05 9,3355 9,3305 46,83 46,83 437,181465 436,947315 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-08 9,3335 9,3285 46,91 46,91 437,834485 437,599935 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-09 9,3455 9,3405 47,33 47,33 442,322515 442,085865 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-10 9,3535 9,3485 47,48 47,48 444,10418 443,86678 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-11 9,3365 9,3315 47,43 47,43 442,830195 442,593045 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-12 9,3025 9,2975 47,35 47,35 440,473375 440,236625 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-16 9,2995 9,2945 47,47 47,47 441,447265 441,209915 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-17 9,3405 9,3355 47,65 47,65 445,074825 444,836575 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-18 9,3365 9,3315 47,77 47,77 446,004605 445,765755 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-19 9,3395 9,3345 48,21 48,21 450,257295 450,016245 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-22 9,3655 9,3605 48,19 48,19 451,323445 451,082495 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-23 9,3715 9,3665 48,14 48,14 451,14401 450,90331 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-24 9,3365 9,3315 47,58 47,58 444,23067 443,99277 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-25 9,3335 9,3285 47,1 47,1 439,60785 439,37235 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-26 9,3415 9,3365 46,69 46,69 436,154635 435,921185 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-29 9,3295 9,3245 46,86 46,86 437,18037 436,94607 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-30 9,3285 9,3235 46,9 46,9 437,50665 437,27215 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-08-31 9,3585 9,3535 46,96 46,96 439,47516 439,24036 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-01 9,3365 9,3315 46,9 46,9 437,88185 437,64735 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-02 9,3025 9,2975 46,51 46,51 432,659275 432,426725 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-05 9,2845 9,2795 46,85 46,85 434,978825 434,744575 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-06 9,3225 9,3175 47,13 47,13 439,369425 439,133775 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-07 9,3075 9,3025 47,16 47,16 438,9417 438,7059 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-08 9,3255 9,3205 47,15 47,15 439,697325 439,461575 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-09 9,3445 9,3395 47,26 47,26 441,62107 441,38477 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-12 9,3015 9,2965 47,5 47,5 441,82125 441,58375 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-13 9,3015 9,2965 47,19 47,19 438,937785 438,701835 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-14 9,3365 9,3315 47,4 47,4 442,5501 442,3131 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-15 9,3425 9,3375 47,6 47,6 444,703 444,465 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-16 9,3465 9,3415 47,78 47,78 446,57577 446,33687 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-19 9,3355 9,3305 47,62 47,62 444,55651 444,31841 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-20 9,3395 9,3345 47,44 47,44 443,06588 442,82868 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-21 9,3405 9,3355 46,73 46,73 436,481565 436,247915 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-22 9,3405 9,3355 46,8 46,8 437,1354 436,9014 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-23 9,3695 9,3645 47,17 47,17 441,959315 441,723465 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-26 9,3815 9,3765 47,52 47,52 445,80888 445,57128 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-27 9,3885 9,3835 47,19 47,19 443,043315 442,807365 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-28 9,3935 9,3885 47,46 47,46 445,81551 445,57821 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-29 9,3845 9,3795 47,4 47,4 444,8253 444,5883 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-09-30 9,3435 9,3385 47,29 47,29 441,854115 441,617665 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-03 9,3025 9,2975 47,58 47,58 442,61295 442,37505 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-04 9,3185 9,3135 47,83 47,83 445,703855 445,464705 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-05 9,3105 9,3055 47,66 47,66 443,73843 443,50013 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-06 9,3015 9,2965 47,1 47,1 438,10065 437,86515 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-07 9,3385 9,3335 46,83 46,83 437,321955 437,087805 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-10 9,3465 9,3415 46,97 46,97 439,005105 438,770255 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-11 9,3395 9,3345 47,01 47,01 439,049895 438,814845 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-12 9,3375 9,3325 46,73 46,73 436,341375 436,107725 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-13 9,3815 9,3765 46,53 46,53 436,521195 436,288545 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-14 9,4135 9,4085 46,54 46,54 438,10429 437,87159 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-17 9,4575 9,4525 46,26 46,26 437,50395 437,27265 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-18 9,4625 9,4575 46,09 46,09 436,126625 435,896175 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-19 9,4605 9,4555 45,45 45,45 429,979725 429,752475 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-20 9,4935 9,4885 45,41 45,41 431,099835 430,872785 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-21 9,4915 9,4865 45,72 45,72 433,95138 433,72278 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-24 9,5455 9,5405 46,16 46,16 440,62028 440,38948 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-25 9,5465 9,5415 46,23 46,23 441,334695 441,103545 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-26 9,4975 9,4925 46,1 46,1 437,83475 437,60425 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-27 9,5355 9,5305 45,43 45,43 433,197765 432,970615 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-28 9,5135 9,5085 45,87 45,87 436,384245 436,154895 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-10-31 9,5495 9,5445 46,73 46,73 446,248135 446,014485 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-02 9,5855 9,5805 46,86 46,86 449,17653 448,94223 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-03 9,6515 9,6465 46,98 46,98 453,42747 453,19257 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-04 9,5875 9,5825 47,04 47,04 450,996 450,7608 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-07 9,6075 9,6025 47,19 47,19 453,377925 453,141975 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-08 9,5685 9,5635 47,45 47,45 454,025325 453,788075 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-09 9,5575 9,5525 47,39 47,39 452,929925 452,692975 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-10 9,6105 9,6055 47,24 47,24 454,00002 453,76382 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-11 9,6365 9,6315 47,24 47,24 455,22826 454,99206 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-14 9,5505 9,5455 47,15 47,15 450,306075 450,070325 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-15 9,5805 9,5755 45,6 45,6 436,8708 436,6428 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-16 9,6235 9,6185 45,39 45,39 436,810665 436,583715 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-17 9,6355 9,6305 45,45 45,45 437,933475 437,706225 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-18 9,6085 9,6035 45,71 45,71 439,204535 438,975985 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-21 9,5915 9,5865 45,42 45,42 435,64593 435,41883 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-22 9,5585 9,5535 45,54 45,54 435,29409 435,06639 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-23 9,5155 9,5105 45,84 45,84 436,19052 435,96132 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-24 9,5125 9,5075 45,91 45,91 436,718875 436,489325 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-25 9,4965 9,4915 46,17 46,17 438,453405 438,222555 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-28 9,4835 9,4785 45,78 45,78 434,15463 433,92573 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-29 9,4785 9,4735 46,04 46,04 436,39014 436,15994 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-11-30 9,5295 9,5245 45,59 45,59 434,449905 434,221955 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-01 9,5165 9,5115 46,11 46,11 438,805815 438,575265 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-02 9,4905 9,4855 45,82 45,82 434,85471 434,62561 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-05 9,4065 9,4015 45,6 45,6 428,9364 428,7084 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-06 9,4185 9,4135 45,59 45,59 429,389415 429,161465 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-07 9,4255 9,4205 46,23 46,23 435,740865 435,509715 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-08 9,3965 9,3915 45,87 45,87 431,017455 430,788105 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-12 9,4315 9,4265 45,72 45,72 431,20818 430,97958 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-13 9,4295 9,4245 45,56 45,56 429,60802 429,38022 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-14 9,4365 9,4315 45,37 45,37 428,134005 427,907155 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-15 9,4345 9,4295 45,44 45,44 428,70368 428,47648 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-16 9,4765 9,4715 45,19 45,19 428,243035 428,017085 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-19 9,4535 9,4485 44,99 44,99 425,312965 425,088015 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-20 9,4015 9,3965 45 45 423,0675 422,8425 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-21 9,4485 9,4435 45,23 45,23 427,355655 427,129505 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-22 9,4365 9,4315 45,18 45,18 426,34107 426,11517 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-23 9,4425 9,4375 45,27 45,27 427,461975 427,235625 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-27 9,4915 9,4865 45,2 45,2 429,0158 428,7898 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-28 9,4345 9,4295 45,06 45,06 425,11857 424,89327 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-29 9,4115 9,4065 45,35 45,35 426,811525 426,584775 650796 UBS AG UBS (Lux) Equity Fund - Telecom EUR 2005-12-30 9,4325 9,4275 45,19 45,19 426,254675 426,028725 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-03 6,668 6,658 85,07 85,07 567,24676 566,39606 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-04 6,728 6,718 84,12 84,12 565,95936 565,11816 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-05 6,828 6,818 83,88 83,88 572,73264 571,89384 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-07 6,87 6,86 84,09 84,09 577,6983 576,8574 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-10 6,96091 6,95091 84,38 84,38 587,3615858 586,5177858 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-11 6,96091 6,95091 83,86 83,86 583,7419126 582,9033126 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-12 6,913 6,903 84,21 84,21 582,14373 581,30163 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-13 6,843 6,833 83,6 83,6 572,0748 571,2388 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-14 6,915 6,905 84,06 84,06 581,2749 580,4343 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-18 6,968 6,958 84,89 84,89 591,51352 590,66462 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-19 6,91 6,9 84,01 84,01 580,5091 579,669 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-20 6,96 6,95 83,48 83,48 581,0208 580,186 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-21 6,978 6,968 82,88 82,88 578,33664 577,50784 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-24 6,933 6,923 82,63 82,63 572,87379 572,04749 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-25 6,95 6,94 82,95 82,95 576,5025 575,673 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-26 6,995 6,985 83,34 83,34 582,9633 582,1299 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-27 6,93 6,92 83,52 83,52 578,7936 577,9584 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-28 6,985 6,975 83,28 83,28 581,7108 580,878 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-01-31 6,998 6,988 83,91 83,91 587,20218 586,36308 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-01 6,993 6,983 84,55 84,55 591,25815 590,41265 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-02 6,953 6,943 84,8 84,8 589,6144 588,7664 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-03 6,968 6,958 84,55 84,55 589,1444 588,2989 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-04 7,01 7 85,52 85,52 599,4952 598,64 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-07 7,065 7,055 85,45 85,45 603,70425 602,84975 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-08 7,123 7,113 85,48 85,48 608,87404 608,01924 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-09 7,1 7,09 84,83 84,83 602,293 601,4447 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-10 7,088 7,078 85,12 85,12 603,33056 602,47936 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-11 7,068 7,058 85,62 85,62 605,16216 604,30596 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-14 7,03 7,02 85,63 85,63 601,9789 601,1226 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-15 7,005 6,995 85,83 85,83 601,23915 600,38085 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-16 6,973 6,963 85,76 85,76 598,00448 597,14688 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-17 6,97 6,96 85,21 85,21 593,9137 593,0616 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-18 6,965 6,955 85,25 85,25 593,76625 592,91375 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-22 6,905 6,895 84,03 84,03 580,22715 579,38685 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-23 6,895 6,885 84,38 84,38 581,8001 580,9563 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-24 6,858 6,848 85,02 85,02 583,06716 582,21696 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-25 6,885 6,875 85,76 85,76 590,4576 589,6 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-02-28 6,828 6,818 85,33 85,33 582,63324 581,77994 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-01 6,87 6,86 85,88 85,88 589,9956 589,1368 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-02 6,888 6,878 85,83 85,83 591,19704 590,33874 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-03 6,903 6,893 85,87 85,87 592,76061 591,90191 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-04 6,9 6,89 86,65 86,65 597,885 597,0185 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-07 6,84 6,83 86,86 86,86 594,1224 593,2538 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-08 6,825 6,815 86,51 86,51 590,43075 589,56565 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-09 6,76 6,75 85,68 85,68 579,1968 578,34 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-10 6,745 6,735 85,82 85,82 578,8559 577,9977 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-11 6,765 6,755 85,16 85,16 576,1074 575,2558 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-14 6,76 6,75 85,72 85,72 579,4672 578,61 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-15 6,815 6,805 85,07 85,07 579,75205 578,90135 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-16 6,81 6,8 84,39 84,39 574,6959 573,852 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-17 6,795 6,785 84,52 84,52 574,3134 573,4682 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-18 6,828 6,818 84,42 84,42 576,41976 575,57556 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-21 6,908 6,898 83,95 83,95 579,9266 579,0871 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-22 6,928 6,918 83,13 83,13 575,92464 575,09334 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-23 6,973 6,963 83,16 83,16 579,87468 579,04308 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-24 7,008 6,998 83,09 83,09 582,29472 581,46382 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-29 7,055 7,045 82,7 82,7 583,4485 582,6215 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-30 7,053 7,043 83,83 83,83 591,25299 590,41469 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-03-31 7,065 7,055 83,8 83,8 592,047 591,209 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-01 7,07 7,06 83,3 83,3 588,931 588,098 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-04 7,113 7,103 83,57 83,57 594,43341 593,59771 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-05 7,163 7,153 84,02 84,02 601,83526 600,99506 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-06 7,125 7,115 84,19 84,19 599,85375 599,01185 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-07 7,083 7,073 84,71 84,71 600,00093 599,15383 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-08 7,153 7,143 83,98 83,98 600,70894 599,86914 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-11 7,098 7,088 84,03 84,03 596,44494 595,60464 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-12 7,048 7,038 84,54 84,54 595,83792 594,99252 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-13 7,075 7,065 83,66 83,66 591,8945 591,0579 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-14 7,12 7,11 82,83 82,83 589,7496 588,9213 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-15 7,17 7,16 81,55 81,55 584,7135 583,898 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-18 7,08 7,07 81,82 81,82 579,2856 578,4674 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-19 7,068 7,058 82,24 82,24 581,27232 580,44992 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-20 7,043 7,033 81,17 81,17 571,68031 570,86861 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-21 7,025 7,015 82,76 82,76 581,389 580,5614 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-22 7,023 7,013 82,1 82,1 576,5883 575,7673 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-25 7,04 7,03 82,83 82,83 583,1232 582,2949 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-26 7,035 7,025 82,06 82,06 577,2921 576,4715 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-27 7,085 7,075 82,4 82,4 583,804 582,98 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-28 7,085 7,075 81,47 81,47 577,21495 576,40025 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-04-29 7,08 7,07 82,43 82,43 583,6044 582,7801 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-02 7,15 7,14 82,83 82,83 592,2345 591,4062 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-03 7,178 7,168 82,8 82,8 594,3384 593,5104 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-04 7,11 7,1 83,76 83,76 595,5336 594,696 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-06 7,085 7,075 83,43 83,43 591,10155 590,26725 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-09 7,168 7,158 83,88 83,88 601,25184 600,41304 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-10 7,178 7,168 83,06 83,06 596,20468 595,37408 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-11 7,15 7,14 83,4 83,4 596,31 595,476 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-12 7,243 7,233 82,63 82,63 598,48909 597,66279 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-13 7,265 7,255 82,21 82,21 597,25565 596,43355 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-17 7,313 7,303 83,66 83,66 611,80558 610,96898 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-18 7,3 7,29 84,46 84,46 616,558 615,7134 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-19 7,26 7,25 84,83 84,83 615,8658 615,0175 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-20 7,28 7,27 84,76 84,76 617,0528 616,2052 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-23 7,32 7,31 85,02 85,02 622,3464 621,4962 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-24 7,295 7,285 84,98 84,98 619,9291 619,0793 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-25 7,298 7,288 84,71 84,71 618,21358 617,36648 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-26 7,33 7,32 85,22 85,22 624,6626 623,8104 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-27 7,338 7,328 85,28 85,28 625,78464 624,93184 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-05-31 7,403 7,393 84,75 84,75 627,40425 626,55675 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-01 7,428 7,418 85,54 85,54 635,39112 634,53572 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-02 7,473 7,463 85,77 85,77 640,95921 640,10151 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-03 7,438 7,428 85,22 85,22 633,86636 633,01416 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-07 7,448 7,438 85,33 85,33 635,53784 634,68454 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-08 7,435 7,425 85,14 85,14 633,0159 632,1645 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-09 7,523 7,513 85,58 85,58 643,81834 642,96254 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-10 7,525 7,515 85,42 85,42 642,7855 641,9313 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-13 7,643 7,633 85,64 85,64 654,54652 653,69012 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-14 7,663 7,653 85,84 85,84 657,79192 656,93352 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-15 7,693 7,683 85,97 85,97 661,36721 660,50751 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-16 7,678 7,668 86,26 86,26 662,30428 661,44168 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-17 7,643 7,633 86,68 86,68 662,49524 661,62844 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-20 7,543 7,533 86,56 86,56 652,92208 652,05648 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-21 7,648 7,638 86,43 86,43 661,01664 660,15234 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-22 7,608 7,598 86,42 86,42 657,48336 656,61916 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-27 7,73 7,72 84,98 84,98 656,8954 656,0456 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-28 7,76 7,75 85,72 85,72 665,1872 664,33 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-29 7,833 7,823 85,77 85,77 671,83641 670,97871 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-06-30 7,823 7,813 85,21 85,21 666,59783 665,74573 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-01 7,858 7,848 85,43 85,43 671,30894 670,45464 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-05 7,963 7,953 86,09 86,09 685,53467 684,67377 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-06 7,895 7,885 85,48 85,48 674,8646 674,0098 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-07 7,878 7,868 85,6 85,6 674,3568 673,5008 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-08 7,913 7,903 86,45 86,45 684,07885 683,21435 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-11 7,89 7,88 86,9 86,9 685,641 684,772 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-12 7,77 7,76 87,02 87,02 676,1454 675,2752 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-13 7,703 7,693 87,1 87,1 670,9313 670,0603 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-14 7,76 7,75 87,33 87,33 677,6808 676,8075 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-15 7,76 7,75 87,45 87,45 678,612 677,7375 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-18 7,78 7,77 86,9 86,9 676,082 675,213 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-19 7,878 7,868 87,36 87,36 688,22208 687,34848 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-20 7,818 7,808 87,96 87,96 687,67128 686,79168 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-21 7,775 7,765 87,3 87,3 678,7575 677,8845 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-22 7,758 7,748 87,84 87,84 681,46272 680,58432 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-25 7,838 7,828 87,67 87,67 687,15746 686,28076 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-26 7,818 7,808 87,85 87,85 686,8113 685,9328 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-27 7,905 7,895 88,18 88,18 697,0629 696,1811 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-28 7,848 7,838 88,65 88,65 695,7252 694,8387 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-07-29 7,748 7,738 88,02 88,02 681,97896 681,09876 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-01 7,72 7,71 88,07 88,07 679,9004 679,0197 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-02 7,7 7,69 88,65 88,65 682,605 681,7185 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-03 7,685 7,675 88,66 88,66 681,3521 680,4655 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-04 7,618 7,608 88,16 88,16 671,60288 670,72128 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-05 7,548 7,538 87,55 87,55 660,8274 659,9519 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-08 7,558 7,548 87,21 87,21 659,13318 658,26108 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-09 7,548 7,538 87,78 87,78 662,56344 661,68564 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-10 7,558 7,548 87,55 87,55 661,7029 660,8274 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-11 7,523 7,513 88,19 88,19 663,45337 662,57147 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-12 7,46 7,45 87,63 87,63 653,7198 652,8435 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-16 7,523 7,513 86,9 86,9 653,7487 652,8797 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-17 7,605 7,595 87,14 87,14 662,6997 661,8283 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-18 7,61 7,6 87,17 87,17 663,3637 662,492 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-19 7,698 7,688 87,24 87,24 671,57352 670,70112 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-22 7,69 7,68 87,4 87,4 672,106 671,232 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-23 7,663 7,653 87,09 87,09 667,37067 666,49977 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-24 7,673 7,663 86,51 86,51 663,79123 662,92613 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-25 7,588 7,578 86,73 86,73 658,10724 657,23994 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-26 7,578 7,568 86,24 86,24 653,52672 652,66432 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-29 7,573 7,563 86,73 86,73 656,80629 655,93899 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-30 7,633 7,623 86,48 86,48 660,10184 659,23704 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-08-31 7,668 7,658 87,37 87,37 669,95316 669,07946 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-01 7,568 7,558 87,46 87,46 661,89728 661,02268 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-02 7,435 7,425 87,31 87,31 649,14985 648,27675 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-06 7,485 7,475 88,29 88,29 660,85065 659,96775 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-07 7,43 7,42 88,49 88,49 657,4807 656,5958 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-08 7,498 7,488 88,12 88,12 660,72376 659,84256 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-09 7,523 7,513 88,75 88,75 667,66625 666,77875 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-12 7,555 7,545 88,67 88,67 669,90185 669,01515 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-13 7,57 7,56 88,1 88,1 666,917 666,036 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-14 7,61 7,6 87,91 87,91 668,9951 668,116 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-15 7,658 7,648 88 88 673,904 673,024 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-16 7,613 7,603 88,77 88,77 675,80601 674,91831 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-19 7,698 7,688 88,24 88,24 679,27152 678,38912 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-20 7,688 7,678 87,58 87,58 673,31504 672,43924 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-21 7,663 7,653 86,83 86,83 665,37829 664,50999 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-22 7,648 7,638 87,06 87,06 665,83488 664,96428 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-23 7,733 7,723 87 87 672,771 671,901 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-26 7,798 7,788 87,13 87,13 679,43974 678,56844 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-27 7,825 7,815 87,13 87,13 681,79225 680,92095 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-28 7,81 7,8 87,2 87,2 681,032 680,16 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-29 7,785 7,775 87,91 87,91 684,37935 683,50025 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-09-30 7,785 7,775 87,99 87,99 685,00215 684,12225 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-03 7,783 7,773 87,77 87,77 683,11391 682,23621 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-04 7,82 7,81 86,95 86,95 679,949 679,0795 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-05 7,795 7,785 85,71 85,71 668,10945 667,25235 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-06 7,713 7,703 85,46 85,46 659,15298 658,29838 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-07 7,683 7,673 85,87 85,87 659,73921 658,88051 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-10 7,698 7,688 85,24 85,24 656,17752 655,32512 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-11 7,77 7,76 84,98 84,98 660,2946 659,4448 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-12 7,805 7,795 84,6 84,6 660,303 659,457 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-13 7,83 7,82 84,68 84,68 663,0444 662,1976 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-14 7,833 7,823 85,41 85,41 669,01653 668,16243 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-17 7,835 7,825 85,69 85,69 671,38115 670,52425 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-18 7,893 7,883 84,93 84,93 670,35249 669,50319 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-19 7,96 7,95 86,03 86,03 684,7988 683,9385 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-20 7,93 7,92 84,9 84,9 673,257 672,408 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-21 7,883 7,873 85,03 85,03 670,29149 669,44119 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-24 7,995 7,985 86,44 86,44 691,0878 690,2234 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-25 7,99 7,98 86,18 86,18 688,5782 687,7164 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-26 7,868 7,858 85,73 85,73 674,52364 673,66634 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-27 7,868 7,858 84,94 84,94 668,30792 667,45852 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-28 7,825 7,815 86,41 86,41 676,15825 675,29415 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-10-31 7,905 7,895 86,98 86,98 687,5769 686,7071 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-02 7,98 7,97 87,37 87,37 697,2126 696,3389 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-03 8,01 8 87,61 87,61 701,7561 700,88 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-04 8,028 8,018 87,71 87,71 704,13588 703,25878 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-07 8,135 8,125 87,96 87,96 715,5546 714,675 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-08 8,17 8,16 87,76 87,76 716,9992 716,1216 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-09 8,12 8,11 87,9 87,9 713,748 712,869 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-10 8,173 8,163 88,57 88,57 723,88261 722,99691 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-11 8,235 8,225 88,89 88,89 732,00915 731,12025 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-14 8,133 8,123 88,77 88,77 721,96641 721,07871 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-15 8,185 8,175 88,36 88,36 723,2266 722,343 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-16 8,21 8,2 88,39 88,39 725,6819 724,798 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-17 8,258 8,248 89,17 89,17 736,36586 735,47416 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-18 8,223 8,213 89,58 89,58 736,61634 735,72054 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-21 8,123 8,113 89,98 89,98 730,90754 730,00774 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-22 8,15 8,14 90,37 90,37 736,5155 735,6118 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-23 8,048 8,038 90,67 90,67 729,71216 728,80546 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-25 8,078 8,068 90,82 90,82 733,64396 732,73576 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-28 8,118 8,108 90,06 90,06 731,10708 730,20648 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-29 8,015 8,005 90,22 90,22 723,1133 722,2111 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-11-30 8,088 8,078 89,7 89,7 725,4936 724,5966 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-01 8,083 8,073 90,71 90,71 733,20893 732,30183 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-02 8,103 8,093 90,79 90,79 735,67137 734,76347 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-05 8,045 8,035 90,58 90,58 728,7161 727,8103 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-06 7,993 7,983 90,54 90,54 723,68622 722,78082 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-07 8,015 8,005 90,13 90,13 722,39195 721,49065 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-08 7,988 7,978 90,08 90,08 719,55904 718,65824 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-12 7,953 7,943 90,49 90,49 719,66697 718,76207 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-13 7,905 7,895 90,98 90,98 719,1969 718,2871 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-14 7,848 7,838 91,47 91,47 717,85656 716,94186 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-15 7,858 7,848 91,25 91,25 717,0425 716,13 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-16 7,903 7,893 91,03 91,03 719,41009 718,49979 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-19 7,865 7,855 90,38 90,38 710,8387 709,9349 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-20 7,848 7,838 90,35 90,35 709,0668 708,1633 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-21 7,948 7,938 90,57 90,57 719,85036 718,94466 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-22 7,98 7,97 91 91 726,18 725,27 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-23 7,955 7,945 91,17 91,17 725,25735 724,34565 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-27 8,01 8 90,37 90,37 723,8637 722,96 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-28 7,915 7,905 90,46 90,46 715,9909 715,0863 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-29 7,938 7,928 90,26 90,26 716,48388 715,58128 686626 UBS AG UBS (Lux) Equity Fund - USA USD 2005-12-30 7,958 7,948 89,9 89,9 715,4242 714,5252 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-12 9,4315 9,4265 150,69 150,69 1421,232735 1420,479285 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-13 9,4295 9,4245 151,04 151,04 1424,23168 1423,47648 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-14 9,4365 9,4315 150,46 150,46 1419,81579 1419,06349 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-15 9,4345 9,4295 150,8 150,8 1422,7226 1421,9686 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-16 9,4765 9,4715 151,08 151,08 1431,70962 1430,95422 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-19 9,4535 9,4485 151,16 151,16 1428,99106 1428,23526 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-20 9,4015 9,3965 151,85 151,85 1427,617775 1426,858525 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-21 9,4485 9,4435 152,13 152,13 1437,400305 1436,639655 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-22 9,4365 9,4315 151,59 151,59 1430,479035 1429,721085 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-23 9,4425 9,4375 152,65 152,65 1441,397625 1440,634375 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-27 9,4915 9,4865 152,94 152,94 1451,63001 1450,86531 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-28 9,4345 9,4295 152,43 152,43 1438,100835 1437,338685 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-29 9,4115 9,4065 153,41 153,41 1443,818215 1443,051165 116293 UBS AG UBS (Lux) Equity Sicav - Small Caps Europe (EUR) EUR 2005-12-30 9,4325 9,4275 153,79 153,79 1450,624175 1449,855225 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-12 9,4315 9,4265 11,44 11,44 107,89636 107,83916 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-13 9,4295 9,4245 11,48 11,48 108,25066 108,19326 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-14 9,4365 9,4315 11,51 11,51 108,614115 108,556565 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-15 9,4345 9,4295 11,48 11,48 108,30806 108,25066 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-16 9,4765 9,4715 11,49 11,49 108,884985 108,827535 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-19 9,4535 9,4485 11,46 11,46 108,33711 108,27981 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-20 9,4015 9,3965 11,48 11,48 107,92922 107,87182 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-21 9,4485 9,4435 11,5 11,5 108,65775 108,60025 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-22 9,4365 9,4315 11,53 11,53 108,802845 108,745195 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-23 9,4425 9,4375 11,56 11,56 109,1553 109,0975 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-27 9,4915 9,4865 11,52 11,52 109,34208 109,28448 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-28 9,4345 9,4295 11,53 11,53 108,779785 108,722135 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-29 9,4115 9,4065 11,53 11,53 108,514595 108,456945 801316 UBS AG UBS (Lux) Key Selection Sicav - Global Allocation (EUR) EUR 2005-12-30 9,4325 9,4275 11,49 11,49 108,379425 108,321975 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-03 9,0065 9,0015 1700,06 1700,06 15311,59039 15303,09009 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-04 9,0345 9,0295 1698,81 1698,81 15347,898945 15339,404895 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-05 9,0615 9,0565 1694,24 1694,24 15352,35576 15343,88456 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-07 9,0615 9,0565 1704,98 1704,98 15449,67627 15441,15137 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-10 9,08619 9,08119 1706,41 1706,41 15504,7654779 15496,2334279 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-11 9,08619 9,08119 1700,8 1700,8 15453,791952 15445,287952 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-12 9,0455 9,0405 1695,64 1695,64 15337,91162 15329,43342 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-13 9,0505 9,0455 1698,06 1698,06 15368,29203 15359,80173 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-14 9,0455 9,0405 1705,23 1705,23 15424,657965 15416,131815 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-17 9,0685 9,0635 1709 1709 15498,0665 15489,5215 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-18 9,0585 9,0535 1711,84 1711,84 15506,70264 15498,14344 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-19 9,0225 9,0175 1709,11 1709,11 15420,444975 15411,899425 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-20 9,0315 9,0265 1703,03 1703,03 15380,915445 15372,400295 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-21 9,0505 9,0455 1700,88 1700,88 15393,81444 15385,31004 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-24 9,0655 9,0605 1700,14 1700,14 15412,61917 15404,11847 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-25 9,0715 9,0665 1705,03 1705,03 15467,179645 15458,654495 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-26 9,0885 9,0835 1704,96 1704,96 15495,52896 15487,00416 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-27 9,0675 9,0625 1706,67 1706,67 15475,230225 15466,696875 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-28 9,0955 9,0905 1706,15 1706,15 15518,287325 15509,756575 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-01-31 9,1075 9,1025 1712,34 1712,34 15595,13655 15586,57485 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-01 9,1035 9,0985 1719,14 1719,14 15650,19099 15641,59529 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-02 9,0905 9,0855 1720,98 1720,98 15644,56869 15635,96379 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-03 9,0695 9,0645 1721,8 1721,8 15615,8651 15607,2561 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-04 9,0895 9,0845 1733,17 1733,17 15753,648715 15744,982865 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-07 9,0755 9,0705 1738,46 1738,46 15777,39373 15768,70143 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-08 9,0895 9,0845 1740,19 1740,19 15817,457005 15808,756055 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-09 9,0695 9,0645 1737,5 1737,5 15758,25625 15749,56875 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-10 9,0805 9,0755 1735,76 1735,76 15761,56868 15752,88988 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-11 9,0935 9,0885 1742,37 1742,37 15844,241595 15835,529745 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-14 9,1105 9,1055 1741,18 1741,18 15863,02039 15854,31449 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-15 9,0765 9,0715 1743,25 1743,25 15822,608625 15813,892375 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-16 9,0705 9,0655 1738,37 1738,37 15767,885085 15759,193235 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-17 9,0925 9,0875 1734,88 1734,88 15774,3964 15765,722 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-18 9,0945 9,0895 1732,69 1732,69 15757,949205 15749,285755 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-21 9,1185 9,1135 1730,47 1730,47 15779,290695 15770,638345 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-22 9,0975 9,0925 1721,64 1721,64 15662,6199 15654,0117 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-23 9,1045 9,0995 1718,26 1718,26 15643,89817 15635,30687 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-24 9,0715 9,0665 1718,83 1718,83 15592,366345 15583,772195 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-25 9,0845 9,0795 1728,85 1728,85 15705,737825 15697,093575 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-02-28 9,0505 9,0455 1726,19 1726,19 15622,882595 15614,251645 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-01 9,0565 9,0515 1733,17 1733,17 15696,454105 15687,788255 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-02 9,0645 9,0595 1733,32 1733,32 15711,67914 15703,01254 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-03 9,0675 9,0625 1733,83 1733,83 15721,503525 15712,834375 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-04 9,0415 9,0365 1741,18 1741,18 15742,87897 15734,17307 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-07 9,0425 9,0375 1744,21 1744,21 15772,018925 15763,297875 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-08 9,0345 9,0295 1736,46 1736,46 15688,04787 15679,36557 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-09 9,0365 9,0315 1730,2 1730,2 15634,9523 15626,3013 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-10 9,0655 9,0605 1721,15 1721,15 15603,085325 15594,479575 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-11 9,0795 9,0745 1718,85 1718,85 15606,298575 15597,704325 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-14 9,0695 9,0645 1720,26 1720,26 15601,89807 15593,29677 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-15 9,1035 9,0985 1724,4 1724,4 15698,0754 15689,4534 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-16 9,0975 9,0925 1714,52 1714,52 15597,8457 15589,2731 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-17 9,1045 9,0995 1715,52 1715,52 15618,95184 15610,37424 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-18 9,1035 9,0985 1717,94 1717,94 15639,26679 15630,67709 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-21 9,1265 9,1215 1715,92 1715,92 15660,34388 15651,76428 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-22 9,1265 9,1215 1715,27 1715,27 15654,411655 15645,835305 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-23 9,1165 9,1115 1714,51 1714,51 15630,330415 15621,757865 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-24 9,1135 9,1085 1718,96 1718,96 15665,74196 15657,14716 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-29 9,1315 9,1265 1717,58 1717,58 15684,08177 15675,49387 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-30 9,1425 9,1375 1718,96 1718,96 15715,5918 15706,997 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-03-31 9,1405 9,1355 1722,22 1722,22 15741,95191 15733,34081 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-01 9,1645 9,1595 1724,1 1724,1 15800,51445 15791,89395 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-04 9,1695 9,1645 1725,48 1725,48 15821,78886 15813,16146 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-05 9,1745 9,1695 1730,45 1730,45 15876,013525 15867,361275 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-06 9,1705 9,1655 1733,78 1733,78 15899,62949 15890,96059 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-07 9,1505 9,1455 1737,96 1737,96 15903,20298 15894,51318 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-08 9,1625 9,1575 1736,44 1736,44 15910,1315 15901,4493 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-11 9,1705 9,1655 1733,07 1733,07 15893,118435 15884,453085 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-12 9,1525 9,1475 1733,81 1733,81 15868,696025 15860,026975 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-13 9,1495 9,1445 1734,62 1734,62 15870,90569 15862,23259 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-14 9,1685 9,1635 1730,78 1730,78 15868,65643 15860,00253 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-15 9,1925 9,1875 1716,42 1716,42 15778,19085 15769,60875 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-18 9,1805 9,1755 1703,79 1703,79 15641,644095 15633,125145 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-19 9,2035 9,1985 1708,9 1708,9 15727,86115 15719,31665 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-20 9,1915 9,1865 1702,49 1702,49 15648,436835 15639,924385 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-21 9,1855 9,1805 1705,78 1705,78 15668,44219 15659,91329 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-22 9,1625 9,1575 1709,59 1709,59 15664,118375 15655,570425 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-25 9,1685 9,1635 1716,8 1716,8 15740,4808 15731,8968 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-26 9,1375 9,1325 1713,3 1713,3 15655,27875 15646,71225 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-27 9,1465 9,1415 1708,63 1708,63 15627,984295 15619,441145 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-28 9,1505 9,1455 1705,4 1705,4 15605,2627 15596,7357 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-04-29 9,1705 9,1655 1710,73 1710,73 15688,249465 15679,695815 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-02 9,1935 9,1885 1715,9 1715,9 15775,12665 15766,54715 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-03 9,2245 9,2195 1717,61 1717,61 15844,093445 15835,505395 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-04 9,1915 9,1865 1723,08 1723,08 15837,68982 15829,07442 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-06 9,1715 9,1665 1730,23 1730,23 15868,804445 15860,153295 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-09 9,1815 9,1765 1730,56 1730,56 15889,13664 15880,48384 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-10 9,1985 9,1935 1723,79 1723,79 15856,282315 15847,663365 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-11 9,2105 9,2055 1725,71 1725,71 15894,651955 15886,023405 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-12 9,2315 9,2265 1728,24 1728,24 15954,24756 15945,60636 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-13 9,2045 9,1995 1728,17 1728,17 15906,940765 15898,299915 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-17 9,2325 9,2275 1731,13 1731,13 15982,657725 15974,002075 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-18 9,2095 9,2045 1742,54 1742,54 16047,92213 16039,20943 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-19 9,1905 9,1855 1747,43 1747,43 16059,755415 16051,018265 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-20 9,1955 9,1905 1748,68 1748,68 16079,98694 16071,24354 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-23 9,1805 9,1755 1753,8 1753,8 16100,7609 16091,9919 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-24 9,1815 9,1765 1754,56 1754,56 16109,49264 16100,71984 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-25 9,1785 9,1735 1751,91 1751,91 16079,905935 16071,146385 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-26 9,1945 9,1895 1758,25 1758,25 16166,229625 16157,438375 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-27 9,1955 9,1905 1758,19 1758,19 16167,436145 16158,645195 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-30 9,1905 9,1855 1762,65 1762,65 16199,634825 16190,821575 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-05-31 9,1665 9,1615 1763,51 1763,51 16165,214415 16156,396865 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-01 9,1455 9,1405 1778,32 1778,32 16263,62556 16254,73396 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-02 9,1565 9,1515 1779,27 1779,27 16291,885755 16282,989405 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-03 9,1315 9,1265 1776,47 1776,47 16221,835805 16212,953455 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-07 9,1455 9,1405 1783,44 1783,44 16310,45052 16301,53332 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-08 9,1455 9,1405 1781,28 1781,28 16290,69624 16281,78984 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-09 9,1965 9,1915 1783,93 1783,93 16405,912245 16396,992595 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-10 9,1975 9,1925 1787,51 1787,51 16440,623225 16431,685675 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-13 9,2365 9,2315 1791,63 1791,63 16548,390495 16539,432345 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-14 9,2985 9,2935 1792,34 1792,34 16666,07349 16657,11179 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-15 9,2695 9,2645 1786,59 1786,59 16560,796005 16551,863055 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-16 9,2695 9,2645 1790,28 1790,28 16595,00046 16586,04906 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-17 9,2695 9,2645 1791,82 1791,82 16609,27549 16600,31639 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-20 9,2255 9,2205 1792,24 1792,24 16534,31012 16525,34892 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-21 9,2725 9,2675 1798,3 1798,3 16674,73675 16665,74525 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-22 9,2615 9,2565 1801,65 1801,65 16685,981475 16676,973225 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-27 9,3855 9,3805 1788,58 1788,58 16786,71759 16777,77469 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-28 9,3995 9,3945 1796,97 1796,97 16890,619515 16881,634665 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-29 9,4215 9,4165 1799,87 1799,87 16957,475205 16948,475855 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-06-30 9,4415 9,4365 1797,78 1797,78 16973,73987 16964,75097 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-01 9,4595 9,4545 1804,66 1804,66 17071,18127 17062,15797 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-04 9,4795 9,4745 1807,54 1807,54 17134,57543 17125,53773 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-05 9,4575 9,4525 1806,35 1806,35 17083,555125 17074,523375 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-06 9,4195 9,4145 1806,76 1806,76 17018,77582 17009,74202 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-07 9,3965 9,3915 1799,3 1799,3 16907,12245 16898,12595 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-08 9,4175 9,4125 1810,17 1810,17 17047,275975 17038,225125 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-11 9,4665 9,4615 1809,73 1809,73 17131,809045 17122,760395 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-12 9,4645 9,4595 1805,01 1805,01 17083,517145 17074,492095 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-13 9,3915 9,3865 1810,1 1810,1 16999,55415 16990,50365 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-14 9,3675 9,3625 1813,73 1813,73 16990,115775 16981,047125 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-15 9,4055 9,4005 1814,98 1814,98 17070,79439 17061,71949 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-18 9,3895 9,3845 1812,59 1812,59 17019,313805 17010,250855 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-19 9,4425 9,4375 1818,26 1818,26 17168,92005 17159,82875 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-20 9,4265 9,4215 1817,46 1817,46 17132,28669 17123,19939 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-21 9,4625 9,4575 1814,48 1814,48 17169,517 17160,4446 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-22 9,4495 9,4445 1817,17 1817,17 17171,347915 17162,262065 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-25 9,4275 9,4225 1818,22 1818,22 17141,26905 17132,17795 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-26 9,4155 9,4105 1819,46 1819,46 17131,12563 17122,02833 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-27 9,4725 9,4675 1822,71 1822,71 17265,620475 17256,506925 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-28 9,4515 9,4465 1825,64 1825,64 17255,03646 17245,90826 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-07-29 9,3885 9,3835 1820,6 1820,6 17092,7031 17083,6001 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-01 9,3985 9,3935 1818,08 1818,08 17087,22488 17078,13448 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-02 9,3995 9,3945 1824,08 1824,08 17145,43996 17136,31956 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-03 9,3755 9,3705 1821,67 1821,67 17079,067085 17069,958735 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-04 9,3735 9,3685 1813,63 1813,63 17000,060805 16990,992655 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-05 9,3355 9,3305 1806,32 1806,32 16862,90036 16853,86876 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-08 9,3335 9,3285 1807,17 1807,17 16867,221195 16858,185345 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-09 9,3455 9,3405 1814,51 1814,51 16957,503205 16948,430655 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-10 9,3535 9,3485 1820,35 1820,35 17026,643725 17017,541975 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-11 9,3365 9,3315 1820,91 1820,91 17000,926215 16991,821665 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-12 9,3025 9,2975 1819,96 1819,96 16930,1779 16921,0781 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-16 9,2995 9,2945 1820,09 1820,09 16925,926955 16916,826505 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-17 9,3405 9,3355 1820,2 1820,2 17001,5781 16992,4771 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-18 9,3365 9,3315 1821,85 1821,85 17009,702525 17000,593275 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-19 9,3395 9,3345 1828,14 1828,14 17073,91353 17064,77283 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-22 9,3655 9,3605 1828,85 1828,85 17128,094675 17118,950425 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-23 9,3715 9,3665 1824,45 1824,45 17097,833175 17088,710925 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-24 9,3365 9,3315 1819,52 1819,52 16987,94848 16978,85088 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-25 9,3335 9,3285 1815,93 1815,93 16948,982655 16939,903005 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-26 9,3415 9,3365 1809,08 1809,08 16899,52082 16890,47542 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-29 9,3295 9,3245 1812,97 1812,97 16914,103615 16905,038765 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-30 9,3285 9,3235 1814,14 1814,14 16923,20499 16914,13429 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-08-31 9,3585 9,3535 1821,02 1821,02 17042,01567 17032,91057 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-01 9,3365 9,3315 1822,19 1822,19 17012,876935 17003,765985 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-02 9,3025 9,2975 1820,06 1820,06 16931,10815 16922,00785 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-05 9,2845 9,2795 1824,27 1824,27 16937,434815 16928,313465 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-06 9,3225 9,3175 1831,61 1831,61 17075,184225 17066,026175 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-07 9,3075 9,3025 1833,97 1833,97 17069,675775 17060,505925 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-08 9,3255 9,3205 1833,23 1833,23 17095,786365 17086,620215 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-09 9,3445 9,3395 1838,75 1838,75 17182,199375 17173,005625 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-12 9,3015 9,2965 1840,9 1840,9 17123,13135 17113,92685 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-13 9,3015 9,2965 1835,47 1835,47 17072,624205 17063,446855 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-14 9,3365 9,3315 1836,16 1836,16 17143,30784 17134,12704 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-15 9,3425 9,3375 1839,11 1839,11 17181,885175 17172,689625 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-16 9,3465 9,3415 1844,04 1844,04 17235,31986 17226,09966 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-19 9,3355 9,3305 1844,99 1844,99 17223,904145 17214,679195 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-20 9,3395 9,3345 1844,85 1844,85 17229,976575 17220,752325 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-21 9,3405 9,3355 1837,22 1837,22 17160,55341 17151,36731 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-22 9,3405 9,3355 1838,45 1838,45 17172,042225 17162,849975 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-23 9,3695 9,3645 1840,69 1840,69 17246,344955 17237,141505 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-26 9,3815 9,3765 1847,89 1847,89 17335,980035 17326,740585 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-27 9,3885 9,3835 1845,94 1845,94 17330,60769 17321,37799 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-28 9,3935 9,3885 1851,52 1851,52 17392,25312 17382,99552 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-29 9,3845 9,3795 1853,34 1853,34 17392,66923 17383,40253 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-09-30 9,3435 9,3385 1853,78 1853,78 17320,79343 17311,52453 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-03 9,3025 9,2975 1859,5 1859,5 17297,99875 17288,70125 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-04 9,3185 9,3135 1858,59 1858,59 17319,270915 17309,977965 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-05 9,3105 9,3055 1848,38 1848,38 17209,34199 17200,10009 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-06 9,3015 9,2965 1833,75 1833,75 17056,625625 17047,456875 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-07 9,3385 9,3335 1833,98 1833,98 17126,62223 17117,45233 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-10 9,3465 9,3415 1835,29 1835,29 17153,537985 17144,361535 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-11 9,3395 9,3345 1836,84 1836,84 17155,16718 17145,98298 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-12 9,3375 9,3325 1828,65 1828,65 17075,019375 17065,876125 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-13 9,3815 9,3765 1823,43 1823,43 17106,508545 17097,391395 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-14 9,4135 9,4085 1823,16 1823,16 17162,31666 17153,20086 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-17 9,4575 9,4525 1825,98 1825,98 17269,20585 17260,07595 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-18 9,4625 9,4575 1823,57 1823,57 17255,531125 17246,413275 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-19 9,4605 9,4555 1818,48 1818,48 17203,73004 17194,63764 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-20 9,4935 9,4885 1813,47 1813,47 17216,177445 17207,110095 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-21 9,4915 9,4865 1813,38 1813,38 17211,69627 17202,62937 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-24 9,5455 9,5405 1824,43 1824,43 17415,096565 17405,974415 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-25 9,5465 9,5415 1816,48 1816,48 17341,02632 17331,94392 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-26 9,4975 9,4925 1814,67 1814,67 17234,828325 17225,754975 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-27 9,5355 9,5305 1802,18 1802,18 17184,68739 17175,67649 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-28 9,5135 9,5085 1808,15 1808,15 17201,835025 17192,794275 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-10-31 9,5495 9,5445 1826,49 1826,49 17442,066255 17432,933805 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-02 9,5855 9,5805 1826,01 1826,01 17503,218855 17494,088805 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-03 9,6515 9,6465 1834,78 1834,78 17708,37917 17699,20527 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-04 9,5875 9,5825 1838,62 1838,62 17627,76925 17618,57615 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-07 9,6075 9,6025 1842,84 1842,84 17705,0853 17695,8711 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-08 9,5685 9,5635 1845,35 1845,35 17657,231475 17648,004725 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-09 9,5575 9,5525 1843,83 1843,83 17622,405225 17613,186075 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-10 9,6105 9,6055 1846,17 1846,17 17742,616785 17733,385935 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-11 9,6365 9,6315 1855,85 1855,85 17883,898525 17874,619275 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-14 9,5505 9,5455 1853,85 1853,85 17705,194425 17695,925175 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-15 9,5805 9,5755 1853,42 1853,42 17756,69031 17747,42321 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-16 9,6235 9,6185 1854,3 1854,3 17844,85605 17835,58455 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-17 9,6355 9,6305 1858,97 1858,97 17912,105435 17902,810585 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-18 9,6085 9,6035 1861,68 1861,68 17887,95228 17878,64388 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-21 9,5915 9,5865 1866,61 1866,61 17903,589815 17894,256765 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-22 9,5585 9,5535 1869,58 1869,58 17870,38043 17861,03253 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-23 9,5155 9,5105 1871,92 1871,92 17812,25476 17802,89516 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-24 9,5125 9,5075 1873,63 1873,63 17822,905375 17813,537225 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-25 9,4965 9,4915 1876,6 1876,6 17821,1319 17811,7489 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-28 9,4835 9,4785 1869,57 1869,57 17730,067095 17720,719245 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-29 9,4785 9,4735 1869,12 1869,12 17716,45392 17707,10832 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-11-30 9,5295 9,5245 1864,13 1864,13 17764,226835 17754,906185 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-01 9,5165 9,5115 1879,16 1879,16 17883,02614 17873,63034 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-02 9,4905 9,4855 1884,73 1884,73 17887,030065 17877,606415 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-05 9,4065 9,4015 1879,16 1879,16 17676,31854 17666,92274 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-06 9,4185 9,4135 1883,56 1883,56 17740,30986 17730,89206 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-07 9,4255 9,4205 1882,25 1882,25 17741,147375 17731,736125 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-08 9,3965 9,3915 1878,93 1878,93 17655,365745 17645,971095 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-12 9,4315 9,4265 1877,46 1877,46 17707,26399 17697,87669 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-13 9,4295 9,4245 1880,97 1880,97 17736,606615 17727,201765 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-14 9,4365 9,4315 1881,31 1881,31 17752,981815 17743,575265 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-15 9,4345 9,4295 1882,58 1882,58 17761,20101 17751,78811 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-16 9,4765 9,4715 1885,8 1885,8 17870,7837 17861,3547 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-19 9,4535 9,4485 1884,22 1884,22 17812,47377 17803,05267 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-20 9,4015 9,3965 1887,56 1887,56 17745,89534 17736,45754 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-21 9,4485 9,4435 1893,57 1893,57 17891,396145 17881,928295 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-22 9,4365 9,4315 1895,51 1895,51 17886,980115 17877,502565 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-23 9,4425 9,4375 1898,98 1898,98 17931,11865 17921,62375 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-27 9,4915 9,4865 1897,29 1897,29 18008,128035 17998,641585 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-28 9,4345 9,4295 1896,22 1896,22 17889,88759 17880,40649 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-29 9,4115 9,4065 1898,99 1898,99 17872,344385 17862,849435 722454 UBS AG UBS (Lux) Strategy Fund - Balanced (EUR) EUR 2005-12-30 9,4325 9,4275 1895,61 1895,61 17880,341325 17870,863275 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-03 9,0065 9,0015 278,81 278,81 2511,102265 2509,708215 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-04 9,0345 9,0295 278,6 278,6 2517,0117 2515,6187 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-05 9,0615 9,0565 277,18 277,18 2511,66657 2510,28067 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-07 9,0615 9,0565 279,81 279,81 2535,498315 2534,099265 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-10 9,08619 9,08119 280,07 280,07 2544,7692333 2543,3688833 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-11 9,08619 9,08119 278,22 278,22 2527,9597818 2526,5686818 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-12 9,0455 9,0405 276,73 276,73 2503,161215 2501,777565 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-13 9,0505 9,0455 276,92 276,92 2506,26446 2504,87986 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-14 9,0455 9,0405 278,84 278,84 2522,24722 2520,85302 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-17 9,0685 9,0635 279,71 279,71 2536,550135 2535,151585 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-18 9,0585 9,0535 280,64 280,64 2542,17744 2540,77424 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-19 9,0225 9,0175 279,73 279,73 2523,863925 2522,465275 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-20 9,0315 9,0265 278,32 278,32 2513,64708 2512,25548 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-21 9,0505 9,0455 277,65 277,65 2512,871325 2511,483075 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-24 9,0655 9,0605 277,1 277,1 2512,05005 2510,66455 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-25 9,0715 9,0665 278,79 278,79 2529,043485 2527,649535 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-26 9,0885 9,0835 278,83 278,83 2534,146455 2532,752305 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-27 9,0675 9,0625 279,63 279,63 2535,545025 2534,146875 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-28 9,0955 9,0905 279,01 279,01 2537,735455 2536,340405 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-01-31 9,1075 9,1025 280,83 280,83 2557,659225 2556,255075 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-01 9,1035 9,0985 282,9 282,9 2575,38015 2573,96565 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-02 9,0905 9,0855 283,56 283,56 2577,70218 2576,28438 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-03 9,0695 9,0645 283,43 283,43 2570,568385 2569,151235 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-04 9,0895 9,0845 286,16 286,16 2601,05132 2599,62052 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-07 9,0755 9,0705 287,49 287,49 2609,115495 2607,678045 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-08 9,0895 9,0845 287,94 287,94 2617,23063 2615,79093 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-09 9,0695 9,0645 286,95 286,95 2602,493025 2601,058275 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-10 9,0805 9,0755 286,64 286,64 2602,83452 2601,40132 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-11 9,0935 9,0885 288,84 288,84 2626,56654 2625,12234 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-14 9,1105 9,1055 288,72 288,72 2630,38356 2628,93996 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-15 9,0765 9,0715 289,56 289,56 2628,19134 2626,74354 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-16 9,0705 9,0655 288,45 288,45 2616,385725 2614,943475 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-17 9,0925 9,0875 287,57 287,57 2614,730225 2613,292375 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-18 9,0945 9,0895 287,67 287,67 2616,214815 2614,776465 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-21 9,1185 9,1135 287,16 287,16 2618,46846 2617,03266 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-22 9,0975 9,0925 284,36 284,36 2586,9651 2585,5433 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-23 9,1045 9,0995 283,57 283,57 2581,763065 2580,345215 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-24 9,0715 9,0665 284,09 284,09 2577,122435 2575,701985 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-25 9,0845 9,0795 286,97 286,97 2606,978965 2605,544115 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-02-28 9,0505 9,0455 286,13 286,13 2589,619565 2588,188915 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-01 9,0565 9,0515 288,29 288,29 2610,898385 2609,456935 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-02 9,0645 9,0595 288,68 288,68 2616,73986 2615,29646 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-03 9,0675 9,0625 288,71 288,71 2617,877925 2616,434375 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-04 9,0415 9,0365 290,44 290,44 2626,01326 2624,56106 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-07 9,0425 9,0375 291,11 291,11 2632,362175 2630,906625 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-08 9,0345 9,0295 289,24 289,24 2613,13878 2611,69258 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-09 9,0365 9,0315 287,69 287,69 2599,710685 2598,272235 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-10 9,0655 9,0605 285,68 285,68 2589,83204 2588,40364 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-11 9,0795 9,0745 284,91 284,91 2586,840345 2585,415795 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-14 9,0695 9,0645 285,48 285,48 2589,16086 2587,73346 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-15 9,1035 9,0985 286,12 286,12 2604,69342 2603,26282 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-16 9,0975 9,0925 282,86 282,86 2573,31885 2571,90455 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-17 9,1045 9,0995 283,27 283,27 2579,031715 2577,615365 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-18 9,1035 9,0985 284,17 284,17 2586,941595 2585,520745 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-21 9,1265 9,1215 283,63 283,63 2588,549195 2587,131045 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-22 9,1265 9,1215 283,07 283,07 2583,438355 2582,023005 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-23 9,1165 9,1115 283,13 283,13 2581,154645 2579,738995 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-24 9,1135 9,1085 284,28 284,28 2590,78578 2589,36438 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-29 9,1315 9,1265 283,74 283,74 2590,97181 2589,55311 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-30 9,1425 9,1375 284 284 2596,47 2595,05 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-03-31 9,1405 9,1355 284,43 284,43 2599,832415 2598,410265 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-01 9,1645 9,1595 284,84 284,84 2610,41618 2608,99198 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-04 9,1695 9,1645 284,98 284,98 2613,12411 2611,69921 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-05 9,1745 9,1695 286,62 286,62 2629,59519 2628,16209 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-06 9,1705 9,1655 287,54 287,54 2636,88557 2635,44787 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-07 9,1505 9,1455 288,57 288,57 2640,559785 2639,116935 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-08 9,1625 9,1575 288,22 288,22 2640,81575 2639,37465 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-11 9,1705 9,1655 287 287 2631,9335 2630,4985 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-12 9,1525 9,1475 287,14 287,14 2628,04885 2626,61315 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-13 9,1495 9,1445 286,95 286,95 2625,449025 2624,014275 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-14 9,1685 9,1635 285,66 285,66 2619,07371 2617,64541 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-15 9,1925 9,1875 280,9 280,9 2582,17325 2580,76875 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-18 9,1805 9,1755 277,1 277,1 2543,91655 2542,53105 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-19 9,2035 9,1985 278,42 278,42 2562,43847 2561,04637 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-20 9,1915 9,1865 276,48 276,48 2541,26592 2539,88352 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-21 9,1855 9,1805 277,98 277,98 2553,38529 2551,99539 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-22 9,1625 9,1575 278,74 278,74 2553,95525 2552,56155 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-25 9,1685 9,1635 280,63 280,63 2572,956155 2571,553005 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-26 9,1375 9,1325 279,49 279,49 2553,839875 2552,442425 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-27 9,1465 9,1415 277,88 277,88 2541,62942 2540,24002 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-28 9,1505 9,1455 276,52 276,52 2530,29626 2528,91366 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-04-29 9,1705 9,1655 278,11 278,11 2550,407755 2549,017205 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-02 9,1935 9,1885 279,48 279,48 2569,39938 2568,00198 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-03 9,2245 9,2195 279,86 279,86 2581,56857 2580,16927 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-04 9,1915 9,1865 281,76 281,76 2589,79704 2588,38824 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-06 9,1715 9,1665 284,17 284,17 2606,265155 2604,844305 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-09 9,1815 9,1765 284,2 284,2 2609,3823 2607,9613 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-10 9,1985 9,1935 281,75 281,75 2591,677375 2590,268625 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-11 9,2105 9,2055 281,94 281,94 2596,80837 2595,39867 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-12 9,2315 9,2265 282,62 282,62 2609,00653 2607,59343 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-13 9,2045 9,1995 282,25 282,25 2597,970125 2596,558875 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-16 9,2145 9,2095 282,25 282,25 2600,792625 2599,381375 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-17 9,2325 9,2275 283,11 283,11 2613,813075 2612,397525 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-18 9,2095 9,2045 286,35 286,35 2637,140325 2635,708575 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-19 9,1905 9,1855 288,08 288,08 2647,59924 2646,15884 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-20 9,1955 9,1905 288,61 288,61 2653,913255 2652,470205 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-23 9,1805 9,1755 289,74 289,74 2659,95807 2658,50937 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-24 9,1815 9,1765 289,52 289,52 2658,22788 2656,78028 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-25 9,1785 9,1735 288,71 288,71 2649,924735 2648,481185 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-26 9,1945 9,1895 290,67 290,67 2672,565315 2671,111965 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-27 9,1955 9,1905 290,75 290,75 2673,591625 2672,137875 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-30 9,1905 9,1855 291,95 291,95 2683,166475 2681,706725 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-05-31 9,1665 9,1615 291,41 291,41 2671,209765 2669,752715 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-01 9,1455 9,1405 295,28 295,28 2700,48324 2699,00684 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-02 9,1565 9,1515 295,52 295,52 2705,92888 2704,45128 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-03 9,1315 9,1265 294,73 294,73 2691,326995 2689,853345 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-07 9,1455 9,1405 295,91 295,91 2706,244905 2704,765355 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-08 9,1455 9,1405 295,21 295,21 2699,843055 2698,367005 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-09 9,1965 9,1915 295,98 295,98 2721,98007 2720,50017 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-10 9,1975 9,1925 297,35 297,35 2734,876625 2733,389875 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-13 9,2365 9,2315 298,88 298,88 2760,60512 2759,11072 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-14 9,2985 9,2935 299,22 299,22 2782,29717 2780,80107 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-15 9,2695 9,2645 298,38 298,38 2765,83341 2764,34151 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-16 9,2695 9,2645 299,53 299,53 2776,493335 2774,995685 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-17 9,2695 9,2645 300,07 300,07 2781,498865 2779,998515 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-20 9,2255 9,2205 300,08 300,08 2768,38804 2766,88764 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-21 9,2725 9,2675 301,07 301,07 2791,671575 2790,166225 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-22 9,2615 9,2565 301,33 301,33 2790,767795 2789,261145 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-27 9,3855 9,3805 296,94 296,94 2786,93037 2785,44567 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-28 9,3995 9,3945 299,99 299,99 2819,756005 2818,256055 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-29 9,4215 9,4165 301 301 2835,8715 2834,3665 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-06-30 9,4415 9,4365 299,99 299,99 2832,355585 2830,855635 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-01 9,4595 9,4545 302,45 302,45 2861,025775 2859,513525 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-04 9,4795 9,4745 303,39 303,39 2875,985505 2874,468555 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-05 9,4575 9,4525 303,47 303,47 2870,067525 2868,550175 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-06 9,4195 9,4145 303,62 303,62 2859,94859 2858,43049 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-07 9,3965 9,3915 300,87 300,87 2827,124955 2825,620605 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-08 9,4175 9,4125 304,38 304,38 2866,49865 2864,97675 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-11 9,4665 9,4615 304,95 304,95 2886,809175 2885,284425 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-12 9,4645 9,4595 303,63 303,63 2873,706135 2872,187985 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-13 9,3915 9,3865 305,43 305,43 2868,445845 2866,918695 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-14 9,3675 9,3625 306,84 306,84 2874,3237 2872,7895 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-15 9,4055 9,4005 307,08 307,08 2888,24094 2886,70554 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-18 9,3895 9,3845 306,13 306,13 2874,407635 2872,876985 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-19 9,4425 9,4375 308,11 308,11 2909,328675 2907,788125 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-20 9,4265 9,4215 308,02 308,02 2903,55053 2902,01043 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-21 9,4625 9,4575 307,03 307,03 2905,271375 2903,736225 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-22 9,4495 9,4445 307,28 307,28 2903,64236 2902,10596 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-25 9,4275 9,4225 307,48 307,48 2898,7677 2897,2303 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-26 9,4155 9,4105 308,11 308,11 2901,009705 2899,469155 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-27 9,4725 9,4675 309,15 309,15 2928,423375 2926,877625 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-28 9,4515 9,4465 310,15 310,15 2931,382725 2929,831975 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-07-29 9,3885 9,3835 308,82 308,82 2899,35657 2897,81247 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-01 9,3985 9,3935 308,61 308,61 2900,471085 2898,928035 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-02 9,3995 9,3945 310,67 310,67 2920,142665 2918,589315 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-03 9,3755 9,3705 310 310 2906,405 2904,855 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-04 9,3735 9,3685 307,61 307,61 2883,382335 2881,844285 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-05 9,3355 9,3305 305,82 305,82 2854,98261 2853,45351 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-08 9,3335 9,3285 306,05 306,05 2856,517675 2854,987425 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-09 9,3455 9,3405 308,39 308,39 2882,058745 2880,516795 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-10 9,3535 9,3485 310,04 310,04 2899,95914 2898,40894 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-11 9,3365 9,3315 310,16 310,16 2895,80884 2894,25804 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-12 9,3025 9,2975 309,04 309,04 2874,8446 2873,2994 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-16 9,2995 9,2945 308,24 308,24 2866,47788 2864,93668 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-17 9,3405 9,3355 308,21 308,21 2878,835505 2877,294455 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-18 9,3365 9,3315 308,17 308,17 2877,229205 2875,688355 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-19 9,3395 9,3345 310,18 310,18 2896,92611 2895,37521 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-22 9,3655 9,3605 310,41 310,41 2907,144855 2905,592805 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-23 9,3715 9,3665 308,81 308,81 2894,012915 2892,468865 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-24 9,3365 9,3315 307,3 307,3 2869,10645 2867,56995 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-25 9,3335 9,3285 305,96 305,96 2855,67766 2854,14786 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-26 9,3415 9,3365 303,97 303,97 2839,535755 2838,015905 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-29 9,3295 9,3245 305,09 305,09 2846,337155 2844,811705 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-30 9,3285 9,3235 305,2 305,2 2847,0582 2845,5322 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-08-31 9,3585 9,3535 306,96 306,96 2872,68516 2871,15036 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-01 9,3365 9,3315 306,88 306,88 2865,18512 2863,65072 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-02 9,3025 9,2975 306,2 306,2 2848,4255 2846,8945 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-05 9,2845 9,2795 307,44 307,44 2854,42668 2852,88948 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-06 9,3225 9,3175 310,16 310,16 2891,4666 2889,9158 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-07 9,3075 9,3025 311,15 311,15 2896,028625 2894,472875 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-08 9,3255 9,3205 310,66 310,66 2897,05983 2895,50653 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-09 9,3445 9,3395 312,24 312,24 2917,72668 2916,16548 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-12 9,3015 9,2965 313,37 313,37 2914,811055 2913,244205 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-13 9,3015 9,2965 311,42 311,42 2896,67313 2895,11603 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-14 9,3365 9,3315 311,61 311,61 2909,346765 2907,788715 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-15 9,3425 9,3375 312,66 312,66 2921,02605 2919,46275 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-16 9,3465 9,3415 314,5 314,5 2939,47425 2937,90175 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-19 9,3355 9,3305 314,27 314,27 2933,867585 2932,296235 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-20 9,3395 9,3345 314,28 314,28 2935,21806 2933,64666 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-21 9,3405 9,3355 311,56 311,56 2910,12618 2908,56838 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-22 9,3405 9,3355 311,75 311,75 2911,900875 2910,342125 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-23 9,3695 9,3645 312,84 312,84 2931,15438 2929,59018 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-26 9,3815 9,3765 315,7 315,7 2961,73955 2960,16105 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-27 9,3885 9,3835 315,26 315,26 2959,81851 2958,24221 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-28 9,3935 9,3885 317,09 317,09 2978,584915 2976,999465 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-29 9,3845 9,3795 317,97 317,97 2983,989465 2982,399615 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-09-30 9,3435 9,3385 318,37 318,37 2974,690095 2973,098245 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-03 9,3025 9,2975 320,26 320,26 2979,21865 2977,61735 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-04 9,3185 9,3135 319,93 319,93 2981,267705 2979,668055 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-05 9,3105 9,3055 316,39 316,39 2945,749095 2944,167145 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-06 9,3015 9,2965 312,2 312,2 2903,9283 2902,3673 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-07 9,3385 9,3335 312,23 312,23 2915,759855 2914,198705 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-10 9,3465 9,3415 312,4 312,4 2919,8466 2918,2846 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-11 9,3395 9,3345 313,15 313,15 2924,664425 2923,098675 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-12 9,3375 9,3325 310,96 310,96 2903,589 2902,0342 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-13 9,3815 9,3765 309,79 309,79 2906,294885 2904,745935 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-14 9,4135 9,4085 310,12 310,12 2919,31462 2917,76402 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-17 9,4575 9,4525 310,99 310,99 2941,187925 2939,632975 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-18 9,4625 9,4575 309,98 309,98 2933,18575 2931,63585 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-19 9,4605 9,4555 307,96 307,96 2913,45558 2911,91578 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-20 9,4935 9,4885 306,75 306,75 2912,131125 2910,597375 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-21 9,4915 9,4865 306,09 306,09 2905,253235 2903,722785 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-24 9,5455 9,5405 309,6 309,6 2955,2868 2953,7388 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-25 9,5465 9,5415 308,17 308,17 2941,944905 2940,404055 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-26 9,4975 9,4925 308,38 308,38 2928,83905 2927,29715 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-27 9,5355 9,5305 304,62 304,62 2904,70401 2903,18091 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-28 9,5135 9,5085 306,48 306,48 2915,69748 2914,16508 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-10-31 9,5495 9,5445 312 312 2979,444 2977,884 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-02 9,5855 9,5805 312,92 312,92 2999,49466 2997,93006 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-03 9,6515 9,6465 315,9 315,9 3048,90885 3047,32935 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-04 9,5875 9,5825 317,24 317,24 3041,5385 3039,9523 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-07 9,6075 9,6025 318,49 318,49 3059,892675 3058,300225 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-08 9,5685 9,5635 318,54 318,54 3047,94999 3046,35729 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-09 9,5575 9,5525 318,68 318,68 3045,7841 3044,1907 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-10 9,6105 9,6055 319,33 319,33 3068,920965 3067,324315 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-11 9,6365 9,6315 322,23 322,23 3105,169395 3103,558245 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-14 9,5505 9,5455 321,91 321,91 3074,401455 3072,791905 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-15 9,5805 9,5755 321,11 321,11 3076,394355 3074,788805 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-16 9,6235 9,6185 320,55 320,55 3084,812925 3083,210175 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-17 9,6355 9,6305 322,17 322,17 3104,269035 3102,658185 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-18 9,6085 9,6035 324,13 324,13 3114,403105 3112,782455 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-21 9,5915 9,5865 325,18 325,18 3118,96397 3117,33807 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-22 9,5585 9,5535 326,01 326,01 3116,166585 3114,536535 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-23 9,5155 9,5105 326,89 326,89 3110,521795 3108,887345 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-24 9,5125 9,5075 326,59 326,59 3106,687375 3105,054425 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-25 9,4965 9,4915 327,59 327,59 3110,958435 3109,320485 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-28 9,4835 9,4785 325,28 325,28 3084,79288 3083,16648 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-29 9,4785 9,4735 325,86 325,86 3088,66401 3087,03471 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-11-30 9,5295 9,5245 324,14 324,14 3088,89213 3087,27143 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-01 9,5165 9,5115 328,56 328,56 3126,74124 3125,09844 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-02 9,4905 9,4855 330,21 330,21 3133,858005 3132,206955 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-05 9,4065 9,4015 329 329 3094,7385 3093,0935 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-06 9,4185 9,4135 329,93 329,93 3107,445705 3105,796055 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-07 9,4255 9,4205 329,85 329,85 3109,001175 3107,351925 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-08 9,3965 9,3915 328,56 328,56 3087,31404 3085,67124 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-12 9,4315 9,4265 328,94 328,94 3102,39761 3100,75291 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-13 9,4295 9,4245 329,9 329,9 3110,79205 3109,14255 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-14 9,4365 9,4315 329,36 329,36 3108,00564 3106,35884 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-15 9,4345 9,4295 329,59 329,59 3109,516855 3107,868905 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-16 9,4765 9,4715 330,27 330,27 3129,803655 3128,152305 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-19 9,4535 9,4485 329,68 329,68 3116,62988 3114,98148 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-20 9,4015 9,3965 330,79 330,79 3109,922185 3108,268235 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-21 9,4485 9,4435 333,22 333,22 3148,42917 3146,76307 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-22 9,4365 9,4315 333,47 333,47 3146,789655 3145,122305 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-23 9,4425 9,4375 334,27 334,27 3156,344475 3154,673125 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-27 9,4915 9,4865 333,57 333,57 3166,079655 3164,411805 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-28 9,4345 9,4295 333,21 333,21 3143,669745 3142,003695 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-29 9,4115 9,4065 334,24 334,24 3145,69976 3144,02856 758284 UBS AG UBS (Lux) Strategy Fund - Equity (EUR) EUR 2005-12-30 9,4325 9,4275 332,76 332,76 3138,7587 3137,0949 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-03 9,0065 9,0015 2092,7 2092,7 18847,90255 18837,43905 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-04 9,0345 9,0295 2091,55 2091,55 18896,108475 18885,650725 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-05 9,0615 9,0565 2100,11 2100,11 19030,146765 19019,646215 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-07 9,0615 9,0565 2100,11 2100,11 19030,146765 19019,646215 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-10 9,08619 9,08119 2102,04 2102,04 19099,5348276 19089,0246276 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-11 9,08619 9,08119 2091,57 2091,57 19004,4024183 18993,9445683 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-12 9,0455 9,0405 2082,47 2082,47 18836,982385 18826,570035 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-13 9,0505 9,0455 2084,52 2084,52 18865,94826 18855,52566 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-14 9,0455 9,0405 2096,65 2096,65 18965,247575 18954,764325 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-17 9,0685 9,0635 2102,34 2102,34 19065,07029 19054,55859 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-18 9,0585 9,0535 2107,76 2107,76 19093,14396 19082,60516 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-19 9,0225 9,0175 2102,45 2102,45 18969,355125 18958,842875 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-20 9,0315 9,0265 2092,92 2092,92 18902,20698 18891,74238 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-21 9,0505 9,0455 2089,08 2089,08 18907,21854 18896,77314 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-24 9,0655 9,0605 2086,27 2086,27 18913,080685 18902,649335 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-25 9,0715 9,0665 2096,06 2096,06 19014,40829 19003,92799 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-26 9,0885 9,0835 2096,11 2096,11 19050,495735 19040,015185 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-27 9,0675 9,0625 2100,24 2100,24 19043,9262 19033,425 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-28 9,0955 9,0905 2097,45 2097,45 19077,356475 19066,869225 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-01-31 9,1075 9,1025 2108,55 2108,55 19203,619125 19193,076375 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-01 9,1035 9,0985 2121,04 2121,04 19308,88764 19298,28244 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-02 9,0905 9,0855 2124,91 2124,91 19316,494355 19305,869805 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-03 9,0695 9,0645 2123,75 2123,75 19261,350625 19250,731875 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-04 9,0895 9,0845 2141,22 2141,22 19462,61919 19451,91309 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-07 9,0755 9,0705 2149,59 2149,59 19508,604045 19497,856095 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-08 9,0895 9,0845 2152,64 2152,64 19566,42128 19555,65808 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-09 9,0695 9,0645 2146,61 2146,61 19468,679395 19457,946345 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-10 9,0805 9,0755 2144,7 2144,7 19474,94835 19464,22485 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-11 9,0935 9,0885 2157,17 2157,17 19616,225395 19605,439545 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-14 9,1105 9,1055 2155,94 2155,94 19641,69137 19630,91167 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-15 9,0765 9,0715 2160,42 2160,42 19609,05213 19598,25003 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-16 9,0705 9,0655 2153,25 2153,25 19531,054125 19520,287875 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-17 9,0925 9,0875 2147,61 2147,61 19527,143925 19516,405875 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-18 9,0945 9,0895 2147,16 2147,16 19527,34662 19516,61082 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-21 9,1185 9,1135 2143,66 2143,66 19546,96371 19536,24541 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-22 9,0975 9,0925 2127,45 2127,45 19354,476375 19343,839125 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-23 9,1045 9,0995 2122,33 2122,33 19322,753485 19312,141835 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-24 9,0715 9,0665 2124,94 2124,94 19276,39321 19265,76851 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-25 9,0845 9,0795 2142,41 2142,41 19462,723645 19452,011595 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-02-28 9,0505 9,0455 2137,87 2137,87 19348,792435 19338,103085 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-01 9,0565 9,0515 2150,72 2150,72 19477,99568 19467,24208 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-02 9,0645 9,0595 2152,17 2152,17 19508,344965 19497,584115 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-03 9,0675 9,0625 2152,5 2152,5 19517,79375 19507,03125 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-04 9,0415 9,0365 2163,49 2163,49 19561,194835 19550,377385 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-07 9,0425 9,0375 2167,96 2167,96 19603,7783 19592,9385 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-08 9,0345 9,0295 2155,95 2155,95 19477,930275 19467,150525 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-09 9,0365 9,0315 2146,24 2146,24 19394,49776 19383,76656 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-10 9,0655 9,0605 2134,1 2134,1 19346,68355 19336,01305 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-11 9,0795 9,0745 2130,06 2130,06 19339,87977 19329,22947 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-14 9,0695 9,0645 2133,09 2133,09 19346,059755 19335,394305 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-15 9,1035 9,0985 2137,72 2137,72 19460,73402 19450,04542 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-16 9,0975 9,0925 2119,08 2119,08 19278,3303 19267,7349 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-17 9,1045 9,0995 2121,2 2121,2 19312,4654 19301,8594 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-18 9,1035 9,0985 2126,31 2126,31 19356,863085 19346,231535 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-21 9,1265 9,1215 2122,84 2122,84 19374,09926 19363,48506 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-22 9,1265 9,1215 2120,29 2120,29 19350,826685 19340,225235 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-23 9,1165 9,1115 2120,01 2120,01 19327,071165 19316,471115 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-24 9,1135 9,1085 2127,21 2127,21 19386,328335 19375,692285 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-29 9,1315 9,1265 2124,29 2124,29 19397,954135 19387,332685 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-30 9,1425 9,1375 2126,29 2126,29 19439,606325 19428,974875 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-03-31 9,1405 9,1355 2129,86 2129,86 19467,98533 19457,33603 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-01 9,1645 9,1595 2132,37 2132,37 19542,104865 19531,443015 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-04 9,1695 9,1645 2133,95 2133,95 19567,254525 19556,584775 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-05 9,1745 9,1695 2143,45 2143,45 19665,082025 19654,364775 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-06 9,1705 9,1655 2149,21 2149,21 19709,330305 19698,584255 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-07 9,1505 9,1455 2155,38 2155,38 19722,80469 19712,02779 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-08 9,1625 9,1575 2152,99 2152,99 19726,770875 19716,005925 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-11 9,1705 9,1655 2146,03 2146,03 19680,168115 19669,437965 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-12 9,1525 9,1475 2147,01 2147,01 19650,509025 19639,773975 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-13 9,1495 9,1445 2146,58 2146,58 19640,13371 19629,40081 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-14 9,1685 9,1635 2138,71 2138,71 19608,762635 19598,069085 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-15 9,1925 9,1875 2110,86 2110,86 19404,08055 19393,52625 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-18 9,1805 9,1755 2088,29 2088,29 19171,546345 19161,104895 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-19 9,2035 9,1985 2096,58 2096,58 19295,87403 19285,39113 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-20 9,1915 9,1865 2084,98 2084,98 19164,09367 19153,66877 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-21 9,1855 9,1805 2093,23 2093,23 19227,364165 19216,898015 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-22 9,1625 9,1575 2098,34 2098,34 19226,04025 19215,54855 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-25 9,1685 9,1635 2110,17 2110,17 19347,093645 19336,542795 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-26 9,1375 9,1325 2103,56 2103,56 19221,2795 19210,7617 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-27 9,1465 9,1415 2094,53 2094,53 19157,618645 19147,145995 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-28 9,1505 9,1455 2086,96 2086,96 19096,72748 19086,29268 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-04-29 9,1705 9,1655 2096,51 2096,51 19226,044955 19215,562405 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-02 9,1935 9,1885 2105,01 2105,01 19352,409435 19341,884385 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-03 9,2245 9,2195 2107,37 2107,37 19439,434565 19428,897715 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-04 9,1915 9,1865 2118,24 2118,24 19469,80296 19459,21176 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-06 9,1715 9,1665 2132,16 2132,16 19555,10544 19544,44464 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-09 9,1815 9,1765 2132,69 2132,69 19581,293235 19570,629785 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-10 9,1985 9,1935 2118,82 2118,82 19489,96577 19479,37167 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-11 9,2105 9,2055 2120,74 2120,74 19533,07577 19522,47207 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-12 9,2315 9,2265 2125,14 2125,14 19618,22991 19607,60421 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-13 9,2045 9,1995 2123,68 2123,68 19547,41256 19536,79416 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-17 9,2325 9,2275 2129,16 2129,16 19657,4697 19646,8239 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-18 9,2095 9,2045 2148,7 2148,7 19788,45265 19777,70915 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-19 9,1905 9,1855 2158,4 2158,4 19836,7752 19825,9832 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-20 9,1955 9,1905 2161,17 2161,17 19873,038735 19862,232885 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-23 9,1805 9,1755 2168,81 2168,81 19910,760205 19899,916155 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-24 9,1815 9,1765 2168,26 2168,26 19907,87919 19897,03789 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-25 9,1785 9,1735 2163,59 2163,59 19858,510815 19847,692865 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-26 9,1945 9,1895 2175,03 2175,03 19998,313335 19987,438185 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-27 9,1955 9,1905 2175,43 2175,43 20004,166565 19993,289415 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-30 9,1905 9,1855 2182,91 2182,91 20062,034355 20051,119805 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-05-31 9,1665 9,1615 2181,34 2181,34 19995,25311 19984,34641 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-01 9,1455 9,1405 2205,04 2205,04 20166,19332 20155,16812 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-02 9,1565 9,1515 2206,61 2206,61 20204,824465 20193,791415 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-03 9,1315 9,1265 2201,91 2201,91 20106,741165 20095,731615 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-07 9,1455 9,1405 2210,83 2210,83 20219,145765 20208,091615 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-08 9,1455 9,1405 2206,77 2206,77 20182,015035 20170,981185 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-09 9,1965 9,1915 2211,51 2211,51 20338,151715 20327,094165 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-10 9,1975 9,1925 2219,2 2219,2 20411,092 20399,996 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-13 9,2365 9,2315 2227,78 2227,78 20576,88997 20565,75107 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-14 9,2985 9,2935 2229,72 2229,72 20733,05142 20721,90282 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-15 9,2695 9,2645 2222,92 2222,92 20605,35694 20594,24234 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-16 9,2695 9,2645 2229,53 2229,53 20666,628335 20655,480685 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-17 9,2695 9,2645 2232,96 2232,96 20698,42272 20687,25792 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-20 9,2255 9,2205 2233,05 2233,05 20601,002775 20589,837525 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-21 9,2725 9,2675 2240,37 2240,37 20773,830825 20762,628975 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-22 9,2615 9,2565 2243,66 2243,66 20779,65709 20768,43879 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-27 9,3855 9,3805 2218,28 2218,28 20819,66694 20808,57554 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-28 9,3995 9,3945 2235,3 2235,3 21010,70235 20999,52585 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-29 9,4215 9,4165 2241,1 2241,1 21114,52365 21103,31815 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-06-30 9,4415 9,4365 2236,09 2236,09 21112,043735 21100,863285 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-01 9,4595 9,4545 2249,86 2249,86 21282,55067 21271,30137 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-04 9,4795 9,4745 2255,25 2255,25 21378,642375 21367,366125 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-05 9,4575 9,4525 2254,94 2254,94 21326,09505 21314,82035 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-06 9,4195 9,4145 2255,79 2255,79 21248,413905 21237,134955 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-07 9,3965 9,3915 2240,22 2240,22 21050,22723 21039,02613 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-08 9,4175 9,4125 2260,71 2260,71 21290,236425 21278,932875 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-11 9,4665 9,4615 2262,63 2262,63 21419,186895 21407,873745 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-12 9,4645 9,4595 2254,65 2254,65 21339,134925 21327,861675 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-13 9,3915 9,3865 2264,76 2264,76 21269,49354 21258,16974 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-14 9,3675 9,3625 2272,3 2272,3 21285,77025 21274,40875 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-15 9,4055 9,4005 2274,17 2274,17 21389,705935 21378,335085 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-18 9,3895 9,3845 2269,01 2269,01 21304,869395 21293,524345 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-19 9,4425 9,4375 2280,13 2280,13 21530,127525 21518,726875 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-20 9,4265 9,4215 2279,35 2279,35 21486,292775 21474,896025 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-21 9,4625 9,4575 2273,8 2273,8 21515,8325 21504,4635 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-22 9,4495 9,4445 2276,45 2276,45 21511,314275 21499,932025 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-25 9,4275 9,4225 2277,94 2277,94 21475,27935 21463,88965 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-26 9,4155 9,4105 2281,21 2281,21 21478,732755 21467,326705 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-27 9,4725 9,4675 2287,44 2287,44 21667,7754 21656,3382 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-28 9,4515 9,4465 2293,26 2293,26 21674,74689 21663,28059 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-07-29 9,3885 9,3835 2285,27 2285,27 21455,257395 21443,831045 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-01 9,3985 9,3935 2282,71 2282,71 21454,049935 21442,636385 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-02 9,3995 9,3945 2294,51 2294,51 21567,246745 21555,774195 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-03 9,3755 9,3705 2290,63 2290,63 21475,801565 21464,348415 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-04 9,3735 9,3685 2276,5 2276,5 21338,77275 21327,39025 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-05 9,3355 9,3305 2264,9 2264,9 21143,97395 21132,64945 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-08 9,3335 9,3285 2266,3 2266,3 21152,51105 21141,17955 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-09 9,3455 9,3405 2280,24 2280,24 21309,98292 21298,58172 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-10 9,3535 9,3485 2290,58 2290,58 21424,94003 21413,48713 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-11 9,3365 9,3315 2291,56 2291,56 21395,14994 21383,69214 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-12 9,3025 9,2975 2286,52 2286,52 21270,3523 21258,9197 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-16 9,2995 9,2945 2283,7 2283,7 21237,26815 21225,84965 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-17 9,3405 9,3355 2283,63 2283,63 21330,246015 21318,827865 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-18 9,3365 9,3315 2284,6 2284,6 21330,1679 21318,7449 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-19 9,3395 9,3345 2296,26 2296,26 21445,92027 21434,43897 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-22 9,3655 9,3605 2297,9 2297,9 21520,98245 21509,49295 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-23 9,3715 9,3665 2289 2289 21451,3635 21439,9185 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-24 9,3365 9,3315 2280,18 2280,18 21288,90057 21277,49967 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-25 9,3335 9,3285 2272,9 2272,9 21214,11215 21202,74765 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-26 9,3415 9,3365 2261,01 2261,01 21121,224915 21109,919865 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-29 9,3295 9,3245 2267,64 2267,64 21155,94738 21144,60918 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-30 9,3285 9,3235 2268,89 2268,89 21165,340365 21153,995915 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-08-31 9,3585 9,3535 2280,29 2280,29 21340,093965 21328,692515 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-01 9,3365 9,3315 2281,41 2281,41 21300,384465 21288,977415 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-02 9,3025 9,2975 2277,63 2277,63 21187,653075 21176,264925 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-05 9,2845 9,2795 2284,41 2284,41 21209,604645 21198,182595 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-06 9,3225 9,3175 2299,4 2299,4 21436,1565 21424,6595 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-07 9,3075 9,3025 2304,79 2304,79 21451,832925 21440,308975 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-08 9,3255 9,3205 2302,65 2302,65 21473,362575 21461,849325 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-09 9,3445 9,3395 2312,19 2312,19 21606,259455 21594,698505 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-12 9,3015 9,2965 2317,89 2317,89 21559,853835 21548,264385 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-13 9,3015 9,2965 2307,13 2307,13 21459,769695 21448,234045 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-14 9,3365 9,3315 2308,42 2308,42 21552,56333 21541,02123 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-15 9,3425 9,3375 2314,48 2314,48 21623,0294 21611,457 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-16 9,3465 9,3415 2324,79 2324,79 21728,649735 21717,025785 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-19 9,3355 9,3305 2324,84 2324,84 21703,54382 21691,91962 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-20 9,3395 9,3345 2325,18 2325,18 21716,01861 21704,39271 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-21 9,3405 9,3355 2309,42 2309,42 21571,13751 21559,59041 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-22 9,3405 9,3355 2311,02 2311,02 21586,08231 21574,52721 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-23 9,3695 9,3645 2316,59 2316,59 21705,290005 21693,707055 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-26 9,3815 9,3765 2332,31 2332,31 21880,566265 21868,904715 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-27 9,3885 9,3835 2329,47 2329,47 21870,229095 21858,581745 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-28 9,3935 9,3885 2340,63 2340,63 21986,707905 21975,004755 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-29 9,3845 9,3795 2345,23 2345,23 22008,810935 21997,084785 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-09-30 9,3435 9,3385 2347,14 2347,14 21930,50259 21918,76689 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-03 9,3025 9,2975 2357,8 2357,8 21933,4345 21921,6455 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-04 9,3185 9,3135 2356,31 2356,31 21957,274735 21945,493185 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-05 9,3105 9,3055 2336,12 2336,12 21750,44526 21738,76466 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-06 9,3015 9,2965 2310,49 2310,49 21491,022735 21479,470285 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-07 9,3385 9,3335 2310,71 2310,71 21578,565335 21567,011785 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-10 9,3465 9,3415 2311,96 2311,96 21608,73414 21597,17434 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-11 9,3395 9,3345 2316,12 2316,12 21631,40274 21619,82214 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-12 9,3375 9,3325 2302,62 2302,62 21500,71425 21489,20115 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-13 9,3815 9,3765 2294,44 2294,44 21525,28886 21513,81666 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-14 9,4135 9,4085 2295,21 2295,21 21605,959335 21594,483285 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-17 9,4575 9,4525 2300,43 2300,43 21756,316725 21744,814575 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-18 9,4625 9,4575 2294,98 2294,98 21716,24825 21704,77335 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-19 9,4605 9,4555 2283,63 2283,63 21604,281615 21592,863465 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-20 9,4935 9,4885 2276 2276 21607,206 21595,826 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-21 9,4915 9,4865 2273,29 2273,29 21576,932035 21565,565585 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-24 9,5455 9,5405 2293,9 2293,9 21896,42245 21884,95295 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-25 9,5465 9,5415 2283,42 2283,42 21798,66903 21787,25193 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-26 9,4975 9,4925 2283,38 2283,38 21686,40155 21674,98465 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-27 9,5355 9,5305 2260,97 2260,97 21559,479435 21548,174585 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-28 9,5135 9,5085 2271,71 2271,71 21611,913085 21600,554535 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-10-31 9,5495 9,5445 2304,65 2304,65 22008,255175 21996,731925 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-02 9,5855 9,5805 2307,9 2307,9 22122,37545 22110,83595 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-03 9,6515 9,6465 2325,34 2325,34 22443,01901 22431,39231 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-04 9,5875 9,5825 2332,81 2332,81 22365,815875 22354,151825 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-07 9,6075 9,6025 2340,15 2340,15 22482,991125 22471,290375 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-08 9,5685 9,5635 2341,65 2341,65 22406,078025 22394,369775 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-09 9,5575 9,5525 2341,07 2341,07 22374,776525 22363,071175 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-10 9,6105 9,6055 2345,3 2345,3 22539,50565 22527,77915 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-11 9,6365 9,6315 2362,45 2362,45 22765,749425 22753,937175 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-14 9,5505 9,5455 2360,05 2360,05 22539,657525 22527,857275 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-15 9,5805 9,5755 2356,8 2356,8 22579,3224 22567,5384 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-16 9,6235 9,6185 2355,27 2355,27 22665,940845 22654,164495 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-17 9,6355 9,6305 2364,42 2364,42 22782,36891 22770,54681 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-18 9,6085 9,6035 2374 2374 22810,579 22798,709 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-21 9,5915 9,5865 2381,14 2381,14 22838,70431 22826,79861 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-22 9,5585 9,5535 2386,23 2386,23 22808,779455 22796,848305 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-23 9,5155 9,5105 2391,18 2391,18 22753,27329 22741,31739 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-24 9,5125 9,5075 2390,8 2390,8 22742,485 22730,531 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-25 9,4965 9,4915 2396,64 2396,64 22759,69176 22747,70856 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-28 9,4835 9,4785 2383,48 2383,48 22603,73258 22591,81518 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-29 9,4785 9,4735 2385,29 2385,29 22608,971265 22597,044815 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-11-30 9,5295 9,5245 2375,75 2375,75 22639,709625 22627,830875 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-01 9,5165 9,5115 2402,18 2402,18 22860,34597 22848,33507 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-02 9,4905 9,4855 2412 2412 22891,086 22879,026 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-05 9,4065 9,4015 2403,87 2403,87 22612,003155 22599,983805 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-06 9,4185 9,4135 2410,31 2410,31 22701,504735 22689,453185 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-07 9,4255 9,4205 2408,96 2408,96 22705,65248 22693,60768 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-08 9,3965 9,3915 2401,98 2401,98 22570,20507 22558,19517 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-12 9,4315 9,4265 2402,83 2402,83 22662,291145 22650,276995 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-13 9,4295 9,4245 2408,78 2408,78 22713,59101 22701,54711 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-14 9,4365 9,4315 2406,61 2406,61 22709,975265 22697,942215 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-15 9,4345 9,4295 2408,09 2408,09 22719,125105 22707,084655 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-16 9,4765 9,4715 2412,94 2412,94 22866,22591 22854,16121 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-19 9,4535 9,4485 2409,68 2409,68 22779,90988 22767,86148 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-20 9,4015 9,3965 2416,1 2416,1 22714,96415 22702,88365 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-21 9,4485 9,4435 2429,68 2429,68 22956,83148 22944,68308 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-22 9,4365 9,4315 2431,97 2431,97 22949,284905 22937,125055 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-23 9,4425 9,4375 2437,3 2437,3 23014,20525 23002,01875 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-27 9,4915 9,4865 2433,65 2433,65 23098,988975 23086,820725 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-28 9,4345 9,4295 2431,63 2431,63 22941,213235 22929,055085 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-29 9,4115 9,4065 2437,36 2437,36 22939,21364 22927,02684 794115 UBS AG UBS (Lux) Strategy Fund - Growth (EUR) EUR 2005-12-30 9,4325 9,4275 2429,48 2429,48 22916,0701 22903,9227 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-03 1 1 122 122 122 122 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-04 1 1 122,74 122,74 122,74 122,74 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-05 1 1 121,73 121,73 121,73 121,73 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-07 1 1 122,23 122,23 122,23 122,23 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-10 1 1 123,41 123,41 123,41 123,41 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-11 1 1 122,44 122,44 122,44 122,44 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-12 1 1 120,95 120,95 120,95 120,95 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-13 1 1 121,62 121,62 121,62 121,62 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-14 1 1 122,34 122,34 122,34 122,34 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-17 1 1 122,66 122,66 122,66 122,66 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-18 1 1 122,52 122,52 122,52 122,52 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-19 1 1 122,62 122,62 122,62 122,62 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-20 1 1 121,65 121,65 121,65 121,65 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-21 1 1 121,61 121,61 121,61 121,61 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-24 1 1 120,54 120,54 120,54 120,54 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-25 1 1 121,59 121,59 121,59 121,59 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-26 1 1 121,61 121,61 121,61 121,61 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-27 1 1 121,32 121,32 121,32 121,32 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-28 1 1 120,82 120,82 120,82 120,82 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-01-31 1 1 121,76 121,76 121,76 121,76 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-01 1 1 122,43 122,43 122,43 122,43 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-02 1 1 122,74 122,74 122,74 122,74 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-03 1 1 122,72 122,72 122,72 122,72 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-04 1 1 123,86 123,86 123,86 123,86 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-07 1 1 124,86 124,86 124,86 124,86 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-08 1 1 125,27 125,27 125,27 125,27 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-09 1 1 125,14 125,14 125,14 125,14 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-10 1 1 124,85 124,85 124,85 124,85 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-11 1 1 125,77 125,77 125,77 125,77 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-14 1 1 126,06 126,06 126,06 126,06 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-15 1 1 126,86 126,86 126,86 126,86 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-16 1 1 126,32 126,32 126,32 126,32 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-17 1 1 126,89 126,89 126,89 126,89 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-18 1 1 126,3 126,3 126,3 126,3 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-21 1 1 126,99 126,99 126,99 126,99 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-22 1 1 126,88 126,88 126,88 126,88 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-23 1 1 126,97 126,97 126,97 126,97 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-24 1 1 127,49 127,49 127,49 127,49 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-25 1 1 128,75 128,75 128,75 128,75 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-02-28 1 1 129,29 129,29 129,29 129,29 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-01 1 1 129,19 129,19 129,19 129,19 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-02 1 1 129,46 129,46 129,46 129,46 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-03 1 1 129,16 129,16 129,16 129,16 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-04 1 1 130,65 130,65 130,65 130,65 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-07 1 1 130,53 130,53 130,53 130,53 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-08 1 1 130,3 130,3 130,3 130,3 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-09 1 1 130,69 130,69 130,69 130,69 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-10 1 1 129,74 129,74 129,74 129,74 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-11 1 1 129,38 129,38 129,38 129,38 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-14 1 1 129,16 129,16 129,16 129,16 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-15 1 1 128,93 128,93 128,93 128,93 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-16 1 1 128,7 128,7 128,7 128,7 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-17 1 1 128,69 128,69 128,69 128,69 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-18 1 1 128,62 128,62 128,62 128,62 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-21 1 1 128,51 128,51 128,51 128,51 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-22 1 1 130,42 130,42 130,42 130,42 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-23 1 1 130,34 130,34 130,34 130,34 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-24 1 1 130,37 130,37 130,37 130,37 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-29 1 1 130,76 130,76 130,76 130,76 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-30 1 1 130,46 130,46 130,46 130,46 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-03-31 1 1 130,7 130,7 130,7 130,7 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-01 1 1 131,39 131,39 131,39 131,39 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-04 1 1 131,15 131,15 131,15 131,15 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-05 1 1 132,46 132,46 132,46 132,46 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-06 1 1 132,96 132,96 132,96 132,96 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-07 1 1 133,52 133,52 133,52 133,52 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-08 1 1 134,08 134,08 134,08 134,08 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-11 1 1 134,4 134,4 134,4 134,4 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-12 1 1 133,58 133,58 133,58 133,58 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-13 1 1 134,42 134,42 134,42 134,42 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-14 1 1 134,91 134,91 134,91 134,91 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-15 1 1 132,99 132,99 132,99 132,99 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-18 1 1 130,89 130,89 130,89 130,89 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-19 1 1 131,63 131,63 131,63 131,63 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-20 1 1 131,91 131,91 131,91 131,91 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-21 1 1 132,74 132,74 132,74 132,74 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-22 1 1 134,23 134,23 134,23 134,23 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-25 1 1 134,18 134,18 134,18 134,18 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-26 1 1 133,64 133,64 133,64 133,64 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-27 1 1 130,96 130,96 130,96 130,96 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-28 1 1 129,58 129,58 129,58 129,58 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-04-29 1 1 129,75 129,75 129,75 129,75 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-02 1 1 130,53 130,53 130,53 130,53 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-03 1 1 129,87 129,87 129,87 129,87 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-04 1 1 129,94 129,94 129,94 129,94 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-06 1 1 131,63 131,63 131,63 131,63 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-09 1 1 131,91 131,91 131,91 131,91 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-10 1 1 131,05 131,05 131,05 131,05 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-11 1 1 130,96 130,96 130,96 130,96 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-12 1 1 131,91 131,91 131,91 131,91 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-13 1 1 132,5 132,5 132,5 132,5 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-16 1 1 132,91 132,91 132,91 132,91 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-17 1 1 133,03 133,03 133,03 133,03 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-18 1 1 134,37 134,37 134,37 134,37 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-19 1 1 135,08 135,08 135,08 135,08 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-20 1 1 134,91 134,91 134,91 134,91 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-23 1 1 135,19 135,19 135,19 135,19 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-24 1 1 135,21 135,21 135,21 135,21 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-25 1 1 134,99 134,99 134,99 134,99 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-26 1 1 135,73 135,73 135,73 135,73 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-27 1 1 136,09 136,09 136,09 136,09 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-30 1 1 136,73 136,73 136,73 136,73 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-05-31 1 1 136,7 136,7 136,7 136,7 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-01 1 1 137,07 137,07 137,07 137,07 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-02 1 1 136,67 136,67 136,67 136,67 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-03 1 1 136,37 136,37 136,37 136,37 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-07 1 1 136,88 136,88 136,88 136,88 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-08 1 1 137,95 137,95 137,95 137,95 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-09 1 1 137,89 137,89 137,89 137,89 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-10 1 1 138,62 138,62 138,62 138,62 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-13 1 1 138,74 138,74 138,74 138,74 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-14 1 1 139,78 139,78 139,78 139,78 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-15 1 1 139,12 139,12 139,12 139,12 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-16 1 1 139,87 139,87 139,87 139,87 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-17 1 1 140 140 140 140 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-20 1 1 140,69 140,69 140,69 140,69 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-21 1 1 141,78 141,78 141,78 141,78 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-22 1 1 142,25 142,25 142,25 142,25 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-23 1 1 143,1 143,1 143,1 143,1 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-27 1 1 140,83 140,83 140,83 140,83 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-28 1 1 141,52 141,52 141,52 141,52 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-29 1 1 142,92 142,92 142,92 142,92 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-06-30 1 1 142,71 142,71 142,71 142,71 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-01 1 1 143,24 143,24 143,24 143,24 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-04 1 1 144,02 144,02 144,02 144,02 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-05 1 1 143,95 143,95 143,95 143,95 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-06 1 1 144,41 144,41 144,41 144,41 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-07 1 1 142,42 142,42 142,42 142,42 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-08 1 1 144,5 144,5 144,5 144,5 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-11 1 1 146,79 146,79 146,79 146,79 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-12 1 1 147,25 147,25 147,25 147,25 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-13 1 1 148,22 148,22 148,22 148,22 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-14 1 1 148,96 148,96 148,96 148,96 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-15 1 1 148,69 148,69 148,69 148,69 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-18 1 1 148,91 148,91 148,91 148,91 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-19 1 1 149,13 149,13 149,13 149,13 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-20 1 1 147,74 147,74 147,74 147,74 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-21 1 1 147,23 147,23 147,23 147,23 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-22 1 1 147,18 147,18 147,18 147,18 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-25 1 1 147,02 147,02 147,02 147,02 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-26 1 1 147,2 147,2 147,2 147,2 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-27 1 1 148,17 148,17 148,17 148,17 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-28 1 1 148,6 148,6 148,6 148,6 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-07-29 1 1 149,32 149,32 149,32 149,32 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-01 1 1 149,32 149,32 149,32 149,32 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-02 1 1 149,62 149,62 149,62 149,62 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-03 1 1 149,78 149,78 149,78 149,78 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-04 1 1 149,53 149,53 149,53 149,53 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-05 1 1 149,24 149,24 149,24 149,24 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-08 1 1 149,23 149,23 149,23 149,23 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-09 1 1 149,73 149,73 149,73 149,73 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-10 1 1 150,46 150,46 150,46 150,46 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-11 1 1 150,06 150,06 150,06 150,06 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-12 1 1 149,86 149,86 149,86 149,86 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-15 1 1 150,04 150,04 150,04 150,04 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-16 1 1 150,79 150,79 150,79 150,79 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-17 1 1 149,78 149,78 149,78 149,78 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-18 1 1 149,37 149,37 149,37 149,37 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-19 1 1 150,17 150,17 150,17 150,17 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-22 1 1 150,05 150,05 150,05 150,05 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-23 1 1 149,36 149,36 149,36 149,36 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-24 1 1 147,29 147,29 147,29 147,29 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-25 1 1 145,52 145,52 145,52 145,52 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-26 1 1 144,7 144,7 144,7 144,7 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-29 1 1 144,5 144,5 144,5 144,5 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-30 1 1 145,21 145,21 145,21 145,21 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-08-31 1 1 146,15 146,15 146,15 146,15 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-01 1 1 146,42 146,42 146,42 146,42 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-02 1 1 146,29 146,29 146,29 146,29 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-05 1 1 146,93 146,93 146,93 146,93 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-06 1 1 147,98 147,98 147,98 147,98 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-07 1 1 148,63 148,63 148,63 148,63 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-08 1 1 148,64 148,64 148,64 148,64 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-09 1 1 149,85 149,85 149,85 149,85 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-12 1 1 149,79 149,79 149,79 149,79 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-13 1 1 150,06 150,06 150,06 150,06 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-14 1 1 150,31 150,31 150,31 150,31 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-15 1 1 150,22 150,22 150,22 150,22 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-16 1 1 150,32 150,32 150,32 150,32 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-19 1 1 150,42 150,42 150,42 150,42 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-20 1 1 150,32 150,32 150,32 150,32 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-21 1 1 149 149 149 149 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-22 1 1 149,82 149,82 149,82 149,82 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-23 1 1 151,1 151,1 151,1 151,1 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-26 1 1 152,5 152,5 152,5 152,5 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-27 1 1 152,95 152,95 152,95 152,95 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-28 1 1 153,75 153,75 153,75 153,75 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-29 1 1 153,65 153,65 153,65 153,65 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-09-30 1 1 155,33 155,33 155,33 155,33 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-03 1 1 157,3 157,3 157,3 157,3 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-04 1 1 157,22 157,22 157,22 157,22 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-05 1 1 156,29 156,29 156,29 156,29 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-06 1 1 154,34 154,34 154,34 154,34 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-07 1 1 153,74 153,74 153,74 153,74 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-10 1 1 154,78 154,78 154,78 154,78 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-11 1 1 154,92 154,92 154,92 154,92 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-12 1 1 153,5 153,5 153,5 153,5 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-13 1 1 151,83 151,83 151,83 151,83 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-14 1 1 151,92 151,92 151,92 151,92 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-17 1 1 152,12 152,12 152,12 152,12 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-18 1 1 151,65 151,65 151,65 151,65 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-19 1 1 149,29 149,29 149,29 149,29 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-20 1 1 149,3 149,3 149,3 149,3 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-21 1 1 148,49 148,49 148,49 148,49 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-24 1 1 149,85 149,85 149,85 149,85 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-25 1 1 150,66 150,66 150,66 150,66 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-26 1 1 150,77 150,77 150,77 150,77 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-27 1 1 149,04 149,04 149,04 149,04 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-28 1 1 148,48 148,48 148,48 148,48 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-10-31 1 1 151,54 151,54 151,54 151,54 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-01 1 1 152,02 152,02 152,02 152,02 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-02 1 1 152,27 152,27 152,27 152,27 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-03 1 1 153,56 153,56 153,56 153,56 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-04 1 1 154,25 154,25 154,25 154,25 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-07 1 1 154,79 154,79 154,79 154,79 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-08 1 1 154,3 154,3 154,3 154,3 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-09 1 1 154,22 154,22 154,22 154,22 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-10 1 1 153,89 153,89 153,89 153,89 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-11 1 1 155,1 155,1 155,1 155,1 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-14 1 1 155,27 155,27 155,27 155,27 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-15 1 1 155,3 155,3 155,3 155,3 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-16 1 1 155,23 155,23 155,23 155,23 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-17 1 1 155,74 155,74 155,74 155,74 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-18 1 1 156,09 156,09 156,09 156,09 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-21 1 1 156,42 156,42 156,42 156,42 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-22 1 1 156,49 156,49 156,49 156,49 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-23 1 1 156,88 156,88 156,88 156,88 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-24 1 1 156,9 156,9 156,9 156,9 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-25 1 1 157,49 157,49 157,49 157,49 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-28 1 1 157,5 157,5 157,5 157,5 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-29 1 1 157,2 157,2 157,2 157,2 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-11-30 1 1 156,61 156,61 156,61 156,61 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-01 1 1 158,58 158,58 158,58 158,58 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-02 1 1 159,55 159,55 159,55 159,55 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-05 1 1 158,64 158,64 158,64 158,64 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-06 1 1 159,62 159,62 159,62 159,62 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-07 1 1 160,18 160,18 160,18 160,18 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-08 1 1 160,54 160,54 160,54 160,54 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-12 1 1 161,23 161,23 161,23 161,23 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-13 1 1 162,05 162,05 162,05 162,05 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-14 1 1 161,5 161,5 161,5 161,5 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-15 1 1 161,41 161,41 161,41 161,41 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-16 1 1 162,82 162,82 162,82 162,82 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-19 1 1 163,07 163,07 163,07 163,07 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-20 1 1 163,04 163,04 163,04 163,04 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-21 1 1 163,79 163,79 163,79 163,79 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-22 1 1 164,37 164,37 164,37 164,37 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-23 1 1 165,44 165,44 165,44 165,44 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-27 1 1 166,76 166,76 166,76 166,76 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-28 1 1 166,23 166,23 166,23 166,23 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-29 1 1 166,47 166,47 166,47 166,47 403584 Västernorrlandsfonden AB Västernorrlandsfonden SEK 2005-12-30 1 1 166,35 166,35 166,35 166,35 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-03 6,668 6,658 19,31 19,31 128,75908 128,56598 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-04 6,728 6,718 19,15 19,15 128,8412 128,6497 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-05 6,828 6,818 18,86 18,86 128,77608 128,58748 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-07 6,87 6,86 18,63 18,63 127,9881 127,8018 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-10 6,96091 6,95091 18,63 18,63 129,6817533 129,4954533 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-11 6,96091 6,95091 18,79 18,79 130,7954989 130,6075989 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-12 6,913 6,903 18,76 18,76 129,68788 129,50028 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-13 6,843 6,833 18,95 18,95 129,67485 129,48535 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-14 6,915 6,905 19,11 19,11 132,14565 131,95455 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-17 6,915 6,905 19,43 19,43 134,35845 134,16415 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-18 6,968 6,958 19,34 19,34 134,76112 134,56772 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-19 6,91 6,9 19,36 19,36 133,7776 133,584 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-20 6,96 6,95 19,24 19,24 133,9104 133,718 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-21 6,978 6,968 19,19 19,19 133,90782 133,71592 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-24 6,933 6,923 19,14 19,14 132,69762 132,50622 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-25 6,95 6,94 19,15 19,15 133,0925 132,901 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-26 6,995 6,985 19,32 19,32 135,1434 134,9502 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-27 6,93 6,92 19,34 19,34 134,0262 133,8328 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-28 6,985 6,975 19,37 19,37 135,29945 135,10575 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-01-31 6,998 6,988 19,54 19,54 136,74092 136,54552 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-01 6,993 6,983 19,44 19,44 135,94392 135,74952 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-02 6,953 6,943 19,48 19,48 135,44444 135,24964 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-03 6,968 6,958 19,61 19,61 136,64248 136,44638 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-04 7,01 7 19,67 19,67 137,8867 137,69 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-07 7,065 7,055 19,83 19,83 140,09895 139,90065 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-08 7,123 7,113 19,84 19,84 141,32032 141,12192 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-09 7,1 7,09 19,83 19,83 140,793 140,5947 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-10 7,088 7,078 19,77 19,77 140,12976 139,93206 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-11 7,068 7,058 19,75 19,75 139,593 139,3955 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-14 7,03 7,02 20,07 20,07 141,0921 140,8914 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-15 7,005 6,995 20,15 20,15 141,15075 140,94925 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-16 6,973 6,963 20,09 20,09 140,08757 139,88667 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-17 6,97 6,96 20,01 20,01 139,4697 139,2696 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-18 6,965 6,955 20,21 20,21 140,76265 140,56055 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-21 6,978 6,968 20,31 20,31 141,72318 141,52008 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-22 6,905 6,895 20,39 20,39 140,79295 140,58905 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-23 6,895 6,885 20,26 20,26 139,6927 139,4901 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-24 6,858 6,848 20,41 20,41 139,97178 139,76768 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-25 6,885 6,875 20,55 20,55 141,48675 141,28125 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-02-28 6,828 6,818 20,74 20,74 141,61272 141,40532 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-01 6,87 6,86 20,76 20,76 142,6212 142,4136 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-02 6,888 6,878 20,5 20,5 141,204 140,999 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-03 6,903 6,893 20,56 20,56 141,92568 141,72008 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-04 6,9 6,89 20,56 20,56 141,864 141,6584 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-07 6,84 6,83 20,64 20,64 141,1776 140,9712 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-08 6,825 6,815 20,58 20,58 140,4585 140,2527 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-09 6,76 6,75 20,66 20,66 139,6616 139,455 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-10 6,745 6,735 20,55 20,55 138,60975 138,40425 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-11 6,765 6,755 20,71 20,71 140,10315 139,89605 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-14 6,76 6,75 20,59 20,59 139,1884 138,9825 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-15 6,815 6,805 20,24 20,24 137,9356 137,7332 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-16 6,81 6,8 20,27 20,27 138,0387 137,836 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-17 6,795 6,785 20,17 20,17 137,05515 136,85345 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-18 6,828 6,818 20,15 20,15 137,5842 137,3827 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-21 6,908 6,898 20,07 20,07 138,64356 138,44286 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-22 6,928 6,918 19,9 19,9 137,8672 137,6682 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-23 6,973 6,963 19,68 19,68 137,22864 137,03184 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-24 7,008 6,998 19,57 19,57 137,14656 136,95086 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-29 7,055 7,045 19,27 19,27 135,94985 135,75715 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-30 7,053 7,043 19,27 19,27 135,91131 135,71861 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-03-31 7,065 7,055 19,54 19,54 138,0501 137,8547 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-01 7,07 7,06 19,86 19,86 140,4102 140,2116 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-04 7,113 7,103 19,69 19,69 140,05497 139,85807 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-05 7,163 7,153 19,67 19,67 140,89621 140,69951 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-06 7,125 7,115 19,77 19,77 140,86125 140,66355 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-07 7,083 7,073 19,77 19,77 140,03091 139,83321 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-08 7,153 7,143 19,81 19,81 141,70093 141,50283 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-11 7,098 7,088 19,72 19,72 139,97256 139,77536 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-12 7,048 7,038 19,75 19,75 139,198 139,0005 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-13 7,075 7,065 19,79 19,79 140,01425 139,81635 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-14 7,12 7,11 19,42 19,42 138,2704 138,0762 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-15 7,17 7,16 19,06 19,06 136,6602 136,4696 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-18 7,08 7,07 18,69 18,69 132,3252 132,1383 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-19 7,068 7,058 18,86 18,86 133,30248 133,11388 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-20 7,043 7,033 18,92 18,92 133,25356 133,06436 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-21 7,025 7,015 19,03 19,03 133,68575 133,49545 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-22 7,023 7,013 19,19 19,19 134,77137 134,57947 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-25 7,04 7,03 19,24 19,24 135,4496 135,2572 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-26 7,035 7,025 19,3 19,3 135,7755 135,5825 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-27 7,085 7,075 19,16 19,16 135,7486 135,557 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-28 7,085 7,075 19,12 19,12 135,4652 135,274 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-04-29 7,08 7,07 19,05 19,05 134,874 134,6835 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-02 7,15 7,14 19,08 19,08 136,422 136,2312 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-03 7,178 7,168 19,12 19,12 137,24336 137,05216 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-04 7,11 7,1 19,37 19,37 137,7207 137,527 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-06 7,085 7,075 19,69 19,69 139,50365 139,30675 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-09 7,168 7,158 19,72 19,72 141,35296 141,15576 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-10 7,178 7,168 19,69 19,69 141,33482 141,13792 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-11 7,15 7,14 19,52 19,52 139,568 139,3728 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-12 7,243 7,233 19,5 19,5 141,2385 141,0435 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-13 7,265 7,255 19,49 19,49 141,59485 141,39995 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-17 7,313 7,303 19,37 19,37 141,65281 141,45911 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-18 7,3 7,29 19,46 19,46 142,058 141,8634 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-19 7,26 7,25 19,75 19,75 143,385 143,1875 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-20 7,28 7,27 19,76 19,76 143,8528 143,6552 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-23 7,32 7,31 19,61 19,61 143,5452 143,3491 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-24 7,295 7,285 19,68 19,68 143,5656 143,3688 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-25 7,298 7,288 19,48 19,48 142,16504 141,97024 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-26 7,33 7,32 19,57 19,57 143,4481 143,2524 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-27 7,338 7,328 19,82 19,82 145,43916 145,24096 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-30 7,338 7,328 19,89 19,89 145,95282 145,75392 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-05-31 7,403 7,393 19,87 19,87 147,09761 146,89891 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-01 7,428 7,418 19,78 19,78 146,92584 146,72804 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-02 7,473 7,463 19,86 19,86 148,41378 148,21518 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-03 7,438 7,428 20,01 20,01 148,83438 148,63428 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-07 7,448 7,438 20,09 20,09 149,63032 149,42942 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-08 7,435 7,425 20,18 20,18 150,0383 149,8365 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-09 7,523 7,513 20,17 20,17 151,73891 151,53721 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-10 7,525 7,515 20,28 20,28 152,607 152,4042 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-13 7,643 7,633 20,32 20,32 155,30576 155,10256 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-14 7,663 7,653 20,3 20,3 155,5589 155,3559 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-15 7,693 7,683 20,44 20,44 157,24492 157,04052 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-16 7,678 7,668 20,53 20,53 157,62934 157,42404 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-17 7,643 7,633 20,59 20,59 157,36937 157,16347 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-20 7,543 7,533 20,54 20,54 154,93322 154,72782 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-21 7,648 7,638 20,46 20,46 156,47808 156,27348 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-22 7,608 7,598 20,76 20,76 157,94208 157,73448 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-27 7,73 7,72 20,51 20,51 158,5423 158,3372 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-28 7,76 7,75 20,53 20,53 159,3128 159,1075 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-29 7,833 7,823 20,41 20,41 159,87153 159,66743 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-06-30 7,823 7,813 20,4 20,4 159,5892 159,3852 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-01 7,858 7,848 20,59 20,59 161,79622 161,59032 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-04 7,945 7,935 20,52 20,52 163,0314 162,8262 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-05 7,963 7,953 20,37 20,37 162,20631 162,00261 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-06 7,895 7,885 20,51 20,51 161,92645 161,72135 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-07 7,878 7,868 20,38 20,38 160,55364 160,34984 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-08 7,913 7,903 20,4 20,4 161,4252 161,2212 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-11 7,89 7,88 20,88 20,88 164,7432 164,5344 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-12 7,77 7,76 21,06 21,06 163,6362 163,4256 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-13 7,703 7,693 21,16 21,16 162,99548 162,78388 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-14 7,76 7,75 21,32 21,32 165,4432 165,23 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-15 7,76 7,75 21,15 21,15 164,124 163,9125 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-18 7,78 7,77 21,24 21,24 165,2472 165,0348 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-19 7,878 7,868 21,39 21,39 168,51042 168,29652 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-20 7,818 7,808 21,43 21,43 167,53974 167,32544 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-21 7,775 7,765 21,62 21,62 168,0955 167,8793 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-22 7,758 7,748 21,7 21,7 168,3486 168,1316 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-25 7,838 7,828 21,73 21,73 170,31974 170,10244 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-26 7,818 7,808 21,66 21,66 169,33788 169,12128 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-27 7,905 7,895 21,64 21,64 171,0642 170,8478 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-28 7,848 7,838 21,83 21,83 171,32184 171,10354 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-07-29 7,748 7,738 21,97 21,97 170,22356 170,00386 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-01 7,72 7,71 22,01 22,01 169,9172 169,6971 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-02 7,7 7,69 22,33 22,33 171,941 171,7177 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-03 7,685 7,675 22,4 22,4 172,144 171,92 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-04 7,618 7,608 22,28 22,28 169,72904 169,50624 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-05 7,548 7,538 22,07 22,07 166,58436 166,36366 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-08 7,558 7,548 22,28 22,28 168,39224 168,16944 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-09 7,548 7,538 22,03 22,03 166,28244 166,06214 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-10 7,558 7,548 22,18 22,18 167,63644 167,41464 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-11 7,523 7,513 22,3 22,3 167,7629 167,5399 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-12 7,46 7,45 22,25 22,25 165,985 165,7625 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-16 7,523 7,513 21,91 21,91 164,82893 164,60983 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-17 7,605 7,595 21,84 21,84 166,0932 165,8748 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-18 7,61 7,6 21,52 21,52 163,7672 163,552 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-19 7,698 7,688 21,38 21,38 164,58324 164,36944 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-22 7,69 7,68 21,69 21,69 166,7961 166,5792 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-23 7,663 7,653 21,53 21,53 164,98439 164,76909 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-24 7,673 7,663 21,19 21,19 162,59087 162,37897 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-25 7,588 7,578 21,23 21,23 161,09324 160,88094 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-26 7,578 7,568 21,2 21,2 160,6536 160,4416 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-29 7,573 7,563 20,86 20,86 157,97278 157,76418 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-30 7,633 7,623 20,88 20,88 159,37704 159,16824 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-08-31 7,668 7,658 20,93 20,93 160,49124 160,28194 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-01 7,568 7,558 21,21 21,21 160,51728 160,30518 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-02 7,435 7,425 21,43 21,43 159,33205 159,11775 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-05 7,41 7,4 21,39 21,39 158,4999 158,286 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-06 7,485 7,475 21,48 21,48 160,7778 160,563 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-07 7,43 7,42 21,59 21,59 160,4137 160,1978 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-08 7,498 7,488 21,68 21,68 162,55664 162,33984 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-09 7,523 7,513 21,7 21,7 163,2491 163,0321 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-12 7,555 7,545 21,88 21,88 165,3034 165,0846 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-13 7,57 7,56 21,92 21,92 165,9344 165,7152 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-14 7,61 7,6 21,94 21,94 166,9634 166,744 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-15 7,658 7,648 21,88 21,88 167,55704 167,33824 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-16 7,613 7,603 21,83 21,83 166,19179 165,97349 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-19 7,698 7,688 21,89 21,89 168,50922 168,29032 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-20 7,688 7,678 22,14 22,14 170,21232 169,99092 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-21 7,663 7,653 22,06 22,06 169,04578 168,82518 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-22 7,648 7,638 21,79 21,79 166,64992 166,43202 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-23 7,733 7,723 21,69 21,69 167,72877 167,51187 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-26 7,798 7,788 21,69 21,69 169,13862 168,92172 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-27 7,825 7,815 21,73 21,73 170,03725 169,81995 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-28 7,81 7,8 21,87 21,87 170,8047 170,586 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-29 7,785 7,775 22,12 22,12 172,2042 171,983 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-09-30 7,785 7,775 22,22 22,22 172,9827 172,7605 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-03 7,783 7,773 22,18 22,18 172,62694 172,40514 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-04 7,82 7,81 22,36 22,36 174,8552 174,6316 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-05 7,795 7,785 22,17 22,17 172,81515 172,59345 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-06 7,713 7,703 21,73 21,73 167,60349 167,38619 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-07 7,683 7,673 21,75 21,75 167,10525 166,88775 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-10 7,698 7,688 21,75 21,75 167,4315 167,214 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-11 7,77 7,76 21,94 21,94 170,4738 170,2544 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-12 7,805 7,795 21,94 21,94 171,2417 171,0223 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-13 7,83 7,82 21,21 21,21 166,0743 165,8622 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-14 7,833 7,823 21,13 21,13 165,51129 165,29999 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-17 7,835 7,825 20,89 20,89 163,67315 163,46425 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-18 7,893 7,883 20,83 20,83 164,41119 164,20289 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-19 7,96 7,95 20,37 20,37 162,1452 161,9415 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-20 7,93 7,92 20,46 20,46 162,2478 162,0432 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-21 7,883 7,873 20,64 20,64 162,70512 162,49872 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-24 7,995 7,985 20,55 20,55 164,29725 164,09175 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-25 7,99 7,98 20,53 20,53 164,0347 163,8294 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-26 7,868 7,858 20,57 20,57 161,84476 161,63906 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-27 7,868 7,858 20,41 20,41 160,58588 160,38178 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-28 7,825 7,815 20,17 20,17 157,83025 157,62855 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-10-31 7,905 7,895 20,52 20,52 162,2106 162,0054 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-02 7,98 7,97 21,27 21,27 169,7346 169,5219 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-03 8,01 8 21,34 21,34 170,9334 170,72 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-04 8,028 8,018 21,31 21,31 171,07668 170,86358 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-07 8,135 8,125 21,17 21,17 172,21795 172,00625 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-08 8,17 8,16 21,26 21,26 173,6942 173,4816 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-09 8,12 8,11 21,44 21,44 174,0928 173,8784 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-10 8,173 8,163 21,46 21,46 175,39258 175,17798 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-11 8,235 8,225 21,82 21,82 179,6877 179,4695 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-14 8,133 8,123 21,85 21,85 177,70605 177,48755 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-15 8,185 8,175 21,75 21,75 178,02375 177,80625 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-16 8,21 8,2 21,81 21,81 179,0601 178,842 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-17 8,258 8,248 21,85 21,85 180,4373 180,2188 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-18 8,223 8,213 22,03 22,03 181,15269 180,93239 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-21 8,123 8,113 21,94 21,94 178,21862 177,99922 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-22 8,15 8,14 21,66 21,66 176,529 176,3124 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-23 8,048 8,038 22,14 22,14 178,18272 177,96132 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-24 8,053 8,043 22,23 22,23 179,01819 178,79589 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-25 8,078 8,068 22,18 22,18 179,17004 178,94824 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-28 8,118 8,108 22,29 22,29 180,95022 180,72732 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-29 8,015 8,005 22,14 22,14 177,4521 177,2307 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-11-30 8,088 8,078 22,36 22,36 180,84768 180,62408 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-01 8,083 8,073 22,46 22,46 181,54418 181,31958 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-02 8,103 8,093 22,72 22,72 184,10016 183,87296 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-05 8,045 8,035 22,84 22,84 183,7478 183,5194 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-06 7,993 7,983 23,01 23,01 183,91893 183,68883 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-07 8,015 8,005 23,15 23,15 185,54725 185,31575 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-08 7,988 7,978 22,93 22,93 183,16484 182,93554 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-12 7,953 7,943 23,16 23,16 184,19148 183,95988 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-13 7,905 7,895 23,24 23,24 183,7122 183,4798 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-14 7,848 7,838 23,33 23,33 183,09384 182,86054 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-15 7,858 7,848 23,41 23,41 183,95578 183,72168 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-16 7,903 7,893 23,4 23,4 184,9302 184,6962 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-19 7,865 7,855 23,71 23,71 186,47915 186,24205 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-20 7,848 7,838 23,68 23,68 185,84064 185,60384 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-21 7,948 7,938 23,93 23,93 190,19564 189,95634 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-22 7,98 7,97 23,9 23,9 190,722 190,483 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-23 7,955 7,945 24,15 24,15 192,11325 191,87175 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-27 8,01 8 24,23 24,23 194,0823 193,84 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-28 7,915 7,905 24,22 24,22 191,7013 191,4591 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-29 7,938 7,928 24,41 24,41 193,76658 193,52248 969543 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Emerging Asian Fund USD 2005-12-30 7,958 7,948 24,37 24,37 193,93646 193,69276 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-03 9,0065 9,0015 11,46 11,46 103,21449 103,15719 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-04 9,0345 9,0295 11,46 11,46 103,53537 103,47807 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-05 9,0615 9,0565 11,41 11,41 103,391715 103,334665 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-07 9,0615 9,0565 11,52 11,52 104,38848 104,33088 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-10 9,08619 9,08119 11,52 11,52 104,6729088 104,6153088 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-11 9,08619 9,08119 11,45 11,45 104,0368755 103,9796255 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-12 9,0455 9,0405 11,4 11,4 103,1187 103,0617 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-13 9,0505 9,0455 11,44 11,44 103,53772 103,48052 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-14 9,0455 9,0405 11,47 11,47 103,751885 103,694535 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-17 9,0685 9,0635 11,51 11,51 104,378435 104,320885 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-18 9,0585 9,0535 11,51 11,51 104,263335 104,205785 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-19 9,0225 9,0175 11,52 11,52 103,9392 103,8816 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-20 9,0315 9,0265 11,46 11,46 103,50099 103,44369 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-21 9,0505 9,0455 11,48 11,48 103,89974 103,84234 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-24 9,0655 9,0605 11,48 11,48 104,07194 104,01454 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-25 9,0715 9,0665 11,63 11,63 105,501545 105,443395 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-26 9,0885 9,0835 11,51 11,51 104,608635 104,551085 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-27 9,0675 9,0625 11,53 11,53 104,548275 104,490625 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-28 9,0955 9,0905 11,51 11,51 104,689205 104,631655 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-01-31 9,1075 9,1025 11,57 11,57 105,373775 105,315925 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-01 9,1035 9,0985 11,62 11,62 105,78267 105,72457 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-02 9,0905 9,0855 11,64 11,64 105,81342 105,75522 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-03 9,0695 9,0645 11,62 11,62 105,38759 105,32949 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-04 9,0895 9,0845 11,71 11,71 106,438045 106,379495 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-07 9,0755 9,0705 11,75 11,75 106,637125 106,578375 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-08 9,0895 9,0845 11,75 11,75 106,801625 106,742875 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-09 9,0695 9,0645 11,75 11,75 106,566625 106,507875 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-10 9,0805 9,0755 11,75 11,75 106,695875 106,637125 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-11 9,0935 9,0885 11,81 11,81 107,394235 107,335185 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-14 9,1105 9,1055 11,8 11,8 107,5039 107,4449 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-15 9,0765 9,0715 11,82 11,82 107,28423 107,22513 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-16 9,0705 9,0655 11,77 11,77 106,759785 106,700935 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-17 9,0925 9,0875 11,76 11,76 106,9278 106,869 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-18 9,0945 9,0895 11,76 11,76 106,95132 106,89252 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-21 9,1185 9,1135 11,71 11,71 106,777635 106,719085 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-22 9,0975 9,0925 11,67 11,67 106,167825 106,109475 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-23 9,1045 9,0995 11,64 11,64 105,97638 105,91818 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-24 9,0715 9,0665 11,62 11,62 105,41083 105,35273 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-25 9,0845 9,0795 11,71 11,71 106,379495 106,320945 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-02-28 9,0505 9,0455 11,7 11,7 105,89085 105,83235 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-01 9,0565 9,0515 11,74 11,74 106,32331 106,26461 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-02 9,0645 9,0595 11,74 11,74 106,41723 106,35853 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-03 9,0675 9,0625 11,74 11,74 106,45245 106,39375 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-04 9,0415 9,0365 11,82 11,82 106,87053 106,81143 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-07 9,0425 9,0375 11,84 11,84 107,0632 107,004 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-08 9,0345 9,0295 11,79 11,79 106,516755 106,457805 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-09 9,0365 9,0315 11,75 11,75 106,178875 106,120125 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-10 9,0655 9,0605 11,68 11,68 105,88504 105,82664 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-11 9,0795 9,0745 11,69 11,69 106,139355 106,080905 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-14 9,0695 9,0645 11,7 11,7 106,11315 106,05465 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-15 9,1035 9,0985 11,76 11,76 107,05716 106,99836 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-16 9,0975 9,0925 11,67 11,67 106,167825 106,109475 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-17 9,1045 9,0995 11,68 11,68 106,34056 106,28216 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-18 9,1035 9,0985 11,7 11,7 106,51095 106,45245 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-21 9,1265 9,1215 11,66 11,66 106,41499 106,35669 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-22 9,1265 9,1215 11,7 11,7 106,78005 106,72155 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-23 9,1165 9,1115 11,67 11,67 106,389555 106,331205 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-24 9,1135 9,1085 11,73 11,73 106,901355 106,842705 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-29 9,1315 9,1265 11,74 11,74 107,20381 107,14511 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-30 9,1425 9,1375 11,71 11,71 107,058675 107,000125 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-03-31 9,1405 9,1355 11,74 11,74 107,30947 107,25077 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-01 9,1645 9,1595 11,76 11,76 107,77452 107,71572 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-04 9,1695 9,1645 11,73 11,73 107,558235 107,499585 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-05 9,1745 9,1695 11,77 11,77 107,983865 107,925015 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-06 9,1705 9,1655 11,79 11,79 108,120195 108,061245 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-07 9,1505 9,1455 11,82 11,82 108,15891 108,09981 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-08 9,1625 9,1575 11,81 11,81 108,209125 108,150075 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-11 9,1705 9,1655 11,81 11,81 108,303605 108,244555 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-12 9,1525 9,1475 11,78 11,78 107,81645 107,75755 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-13 9,1495 9,1445 11,81 11,81 108,055595 107,996545 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-14 9,1685 9,1635 11,79 11,79 108,096615 108,037665 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-15 9,1925 9,1875 11,68 11,68 107,3684 107,31 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-18 9,1805 9,1755 11,57 11,57 106,218385 106,160535 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-19 9,2035 9,1985 11,59 11,59 106,668565 106,610615 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-20 9,1915 9,1865 11,56 11,56 106,25374 106,19594 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-21 9,1855 9,1805 11,57 11,57 106,276235 106,218385 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-22 9,1625 9,1575 11,62 11,62 106,46825 106,41015 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-25 9,1685 9,1635 11,65 11,65 106,813025 106,754775 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-26 9,1375 9,1325 11,66 11,66 106,54325 106,48495 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-27 9,1465 9,1415 11,59 11,59 106,007935 105,949985 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-28 9,1505 9,1455 11,56 11,56 105,77978 105,72198 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-04-29 9,1705 9,1655 11,57 11,57 106,102685 106,044835 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-02 9,1935 9,1885 11,62 11,62 106,82847 106,77037 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-03 9,2245 9,2195 11,65 11,65 107,465425 107,407175 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-04 9,1915 9,1865 11,67 11,67 107,264805 107,206455 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-06 9,1715 9,1665 11,74 11,74 107,67341 107,61471 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-09 9,1815 9,1765 11,73 11,73 107,698995 107,640345 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-10 9,1985 9,1935 11,71 11,71 107,714435 107,655885 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-11 9,2105 9,2055 11,71 11,71 107,854955 107,796405 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-12 9,2315 9,2265 11,76 11,76 108,56244 108,50364 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-13 9,2045 9,1995 11,76 11,76 108,24492 108,18612 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-17 9,2325 9,2275 11,74 11,74 108,38955 108,33085 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-18 9,2095 9,2045 11,85 11,85 109,132575 109,073325 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-19 9,1905 9,1855 11,88 11,88 109,18314 109,12374 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-20 9,1955 9,1905 11,86 11,86 109,05863 108,99933 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-23 9,1805 9,1755 11,92 11,92 109,43156 109,37196 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-24 9,1815 9,1765 11,92 11,92 109,44348 109,38388 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-25 9,1785 9,1735 11,92 11,92 109,40772 109,34812 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-26 9,1945 9,1895 11,96 11,96 109,96622 109,90642 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-27 9,1955 9,1905 11,95 11,95 109,886225 109,826475 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-30 9,1905 9,1855 11,99 11,99 110,194095 110,134145 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-05-31 9,1665 9,1615 11,98 11,98 109,81467 109,75477 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-01 9,1455 9,1405 12,08 12,08 110,47764 110,41724 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-02 9,1565 9,1515 12,09 12,09 110,702085 110,641635 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-03 9,1315 9,1265 12,07 12,07 110,217205 110,156855 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-07 9,1455 9,1405 12,14 12,14 111,02637 110,96567 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-08 9,1455 9,1405 12,14 12,14 111,02637 110,96567 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-09 9,1965 9,1915 12,15 12,15 111,737475 111,676725 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-10 9,1975 9,1925 12,18 12,18 112,02555 111,96465 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-13 9,2365 9,2315 12,19 12,19 112,592935 112,531985 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-14 9,2985 9,2935 12,18 12,18 113,25573 113,19483 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-15 9,2695 9,2645 12,11 12,11 112,253645 112,193095 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-16 9,2695 9,2645 12,14 12,14 112,53173 112,47103 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-17 9,2695 9,2645 12,19 12,19 112,995205 112,934255 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-20 9,2255 9,2205 12,16 12,16 112,18208 112,12128 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-21 9,2725 9,2675 12,22 12,22 113,30995 113,24885 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-22 9,2615 9,2565 12,27 12,27 113,638605 113,577255 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-27 9,3855 9,3805 12,18 12,18 114,31539 114,25449 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-28 9,3995 9,3945 12,21 12,21 114,767895 114,706845 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-29 9,4215 9,4165 12,24 12,24 115,31916 115,25796 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-06-30 9,4415 9,4365 12,27 12,27 115,847205 115,785855 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-01 9,4595 9,4545 12,32 12,32 116,54104 116,47944 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-04 9,4795 9,4745 12,32 12,32 116,78744 116,72584 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-05 9,4575 9,4525 12,29 12,29 116,232675 116,171225 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-06 9,4195 9,4145 12,31 12,31 115,954045 115,892495 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-07 9,3965 9,3915 12,21 12,21 114,731265 114,670215 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-08 9,4175 9,4125 12,31 12,31 115,929425 115,867875 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-11 9,4665 9,4615 12,35 12,35 116,911275 116,849525 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-12 9,4645 9,4595 12,32 12,32 116,60264 116,54104 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-13 9,3915 9,3865 12,36 12,36 116,07894 116,01714 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-14 9,3675 9,3625 12,38 12,38 115,96965 115,90775 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-15 9,4055 9,4005 12,38 12,38 116,44009 116,37819 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-18 9,3895 9,3845 12,4 12,4 116,4298 116,3678 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-19 9,4425 9,4375 12,45 12,45 117,559125 117,496875 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-20 9,4265 9,4215 12,42 12,42 117,07713 117,01503 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-21 9,4625 9,4575 12,44 12,44 117,7135 117,6513 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-22 9,4495 9,4445 12,45 12,45 117,646275 117,584025 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-25 9,4275 9,4225 12,47 12,47 117,560925 117,498575 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-26 9,4155 9,4105 12,47 12,47 117,411285 117,348935 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-27 9,4725 9,4675 12,5 12,5 118,40625 118,34375 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-28 9,4515 9,4465 12,53 12,53 118,427295 118,364645 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-07-29 9,3885 9,3835 12,51 12,51 117,450135 117,387585 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-01 9,3985 9,3935 12,48 12,48 117,29328 117,23088 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-02 9,3995 9,3945 12,52 12,52 117,68174 117,61914 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-03 9,3755 9,3705 12,52 12,52 117,38126 117,31866 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-04 9,3735 9,3685 12,47 12,47 116,887545 116,825195 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-05 9,3355 9,3305 12,4 12,4 115,7602 115,6982 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-08 9,3335 9,3285 12,47 12,47 116,388745 116,326395 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-09 9,3455 9,3405 12,49 12,49 116,725295 116,662845 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-10 9,3535 9,3485 12,58 12,58 117,66703 117,60413 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-11 9,3365 9,3315 12,55 12,55 117,173075 117,110325 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-12 9,3025 9,2975 12,53 12,53 116,560325 116,497675 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-16 9,2995 9,2945 12,51 12,51 116,336745 116,274195 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-17 9,3405 9,3355 12,48 12,48 116,56944 116,50704 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-18 9,3365 9,3315 12,47 12,47 116,426155 116,363805 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-19 9,3395 9,3345 12,55 12,55 117,210725 117,147975 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-22 9,3655 9,3605 12,57 12,57 117,724335 117,661485 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-23 9,3715 9,3665 12,51 12,51 117,237465 117,174915 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-24 9,3365 9,3315 12,5 12,5 116,70625 116,64375 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-25 9,3335 9,3285 12,44 12,44 116,10874 116,04654 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-26 9,3415 9,3365 12,38 12,38 115,64777 115,58587 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-29 9,3295 9,3245 12,41 12,41 115,779095 115,717045 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-30 9,3285 9,3235 12,39 12,39 115,580115 115,518165 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-08-31 9,3585 9,3535 12,47 12,47 116,700495 116,638145 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-01 9,3365 9,3315 12,52 12,52 116,89298 116,83038 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-02 9,3025 9,2975 12,51 12,51 116,374275 116,311725 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-05 9,2845 9,2795 12,56 12,56 116,61332 116,55052 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-06 9,3225 9,3175 12,62 12,62 117,64995 117,58685 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-07 9,3075 9,3025 12,64 12,64 117,6468 117,5836 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-08 9,3255 9,3205 12,62 12,62 117,68781 117,62471 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-09 9,3445 9,3395 12,65 12,65 118,207925 118,144675 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-12 9,3015 9,2965 12,62 12,62 117,38493 117,32183 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-13 9,3015 9,2965 12,56 12,56 116,82684 116,76404 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-14 9,3365 9,3315 12,59 12,59 117,546535 117,483585 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-15 9,3425 9,3375 12,59 12,59 117,622075 117,559125 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-16 9,3465 9,3415 12,63 12,63 118,046295 117,983145 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-19 9,3355 9,3305 12,63 12,63 117,907365 117,844215 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-20 9,3395 9,3345 12,66 12,66 118,23807 118,17477 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-21 9,3405 9,3355 12,59 12,59 117,596895 117,533945 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-22 9,3405 9,3355 12,56 12,56 117,31668 117,25388 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-23 9,3695 9,3645 12,69 12,69 118,898955 118,835505 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-26 9,3815 9,3765 12,69 12,69 119,051235 118,987785 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-27 9,3885 9,3835 12,64 12,64 118,67064 118,60744 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-28 9,3935 9,3885 12,73 12,73 119,579255 119,515605 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-29 9,3845 9,3795 12,69 12,69 119,089305 119,025855 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-09-30 9,3435 9,3385 12,73 12,73 118,942755 118,879105 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-03 9,3025 9,2975 12,75 12,75 118,606875 118,543125 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-04 9,3185 9,3135 12,8 12,8 119,2768 119,2128 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-05 9,3105 9,3055 12,72 12,72 118,42956 118,36596 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-06 9,3015 9,2965 12,64 12,64 117,57096 117,50776 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-07 9,3385 9,3335 12,62 12,62 117,85187 117,78877 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-10 9,3465 9,3415 12,62 12,62 117,95283 117,88973 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-11 9,3395 9,3345 12,65 12,65 118,144675 118,081425 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-12 9,3375 9,3325 12,58 12,58 117,46575 117,40285 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-13 9,3815 9,3765 12,5 12,5 117,26875 117,20625 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-14 9,4135 9,4085 12,53 12,53 117,951155 117,888505 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-17 9,4575 9,4525 12,53 12,53 118,502475 118,439825 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-18 9,4625 9,4575 12,49 12,49 118,186625 118,124175 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-19 9,4605 9,4555 12,38 12,38 117,12099 117,05909 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-20 9,4935 9,4885 12,4 12,4 117,7194 117,6574 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-21 9,4915 9,4865 12,38 12,38 117,50477 117,44287 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-24 9,5455 9,5405 12,47 12,47 119,032385 118,970035 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-25 9,5465 9,5415 12,42 12,42 118,56753 118,50543 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-26 9,4975 9,4925 12,42 12,42 117,95895 117,89685 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-27 9,5355 9,5305 12,3 12,3 117,28665 117,22515 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-28 9,5135 9,5085 12,3 12,3 117,01605 116,95455 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-10-31 9,5495 9,5445 12,46 12,46 118,98677 118,92447 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-02 9,5855 9,5805 12,44 12,44 119,24362 119,18142 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-03 9,6515 9,6465 12,52 12,52 120,83678 120,77418 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-04 9,5875 9,5825 12,48 12,48 119,652 119,5896 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-07 9,6075 9,6025 12,52 12,52 120,2859 120,2233 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-08 9,5685 9,5635 12,53 12,53 119,893305 119,830655 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-09 9,5575 9,5525 12,5 12,5 119,46875 119,40625 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-10 9,6105 9,6055 12,51 12,51 120,227355 120,164805 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-11 9,6365 9,6315 12,61 12,61 121,516265 121,453215 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-14 9,5505 9,5455 12,62 12,62 120,52731 120,46421 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-15 9,5805 9,5755 12,63 12,63 121,001715 120,938565 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-16 9,6235 9,6185 12,61 12,61 121,352335 121,289285 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-17 9,6355 9,6305 12,64 12,64 121,79272 121,72952 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-18 9,6085 9,6035 12,66 12,66 121,64361 121,58031 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-21 9,5915 9,5865 12,73 12,73 122,099795 122,036145 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-22 9,5585 9,5535 12,73 12,73 121,679705 121,616055 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-23 9,5155 9,5105 12,77 12,77 121,512935 121,449085 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-24 9,5125 9,5075 12,77 12,77 121,474625 121,410775 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-25 9,4965 9,4915 12,79 12,79 121,460235 121,396285 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-28 9,4835 9,4785 12,75 12,75 120,914625 120,850875 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-29 9,4785 9,4735 12,77 12,77 121,040445 120,976595 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-11-30 9,5295 9,5245 12,75 12,75 121,501125 121,437375 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-01 9,5165 9,5115 12,86 12,86 122,38219 122,31789 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-02 9,4905 9,4855 12,91 12,91 122,522355 122,457805 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-05 9,4065 9,4015 12,87 12,87 121,061655 120,997305 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-06 9,4185 9,4135 12,93 12,93 121,781205 121,716555 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-07 9,4255 9,4205 12,89 12,89 121,494695 121,430245 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-08 9,3965 9,3915 12,91 12,91 121,308815 121,244265 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-12 9,4315 9,4265 12,91 12,91 121,760665 121,696115 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-13 9,4295 9,4245 12,93 12,93 121,923435 121,858785 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-14 9,4365 9,4315 12,91 12,91 121,825215 121,760665 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-15 9,4345 9,4295 12,91 12,91 121,799395 121,734845 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-16 9,4765 9,4715 12,98 12,98 123,00497 122,94007 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-19 9,4535 9,4485 12,98 12,98 122,70643 122,64153 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-20 9,4015 9,3965 12,99 12,99 122,125485 122,060535 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-21 9,4485 9,4435 13,04 13,04 123,20844 123,14324 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-22 9,4365 9,4315 13,04 13,04 123,05196 122,98676 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-23 9,4425 9,4375 13,06 13,06 123,31905 123,25375 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-27 9,4915 9,4865 13,1 13,1 124,33865 124,27315 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-28 9,4345 9,4295 13,1 13,1 123,59195 123,52645 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-29 9,4115 9,4065 13,11 13,11 123,384765 123,319215 568212 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Balanced Fund EUR 2005-12-30 9,4325 9,4275 13,06 13,06 123,18845 123,12315 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-03 9,0065 9,0015 12,75 12,75 114,832875 114,769125 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-04 9,0345 9,0295 12,74 12,74 115,09953 115,03583 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-05 9,0615 9,0565 12,74 12,74 115,44351 115,37981 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-07 9,0615 9,0565 12,8 12,8 115,9872 115,9232 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-10 9,08619 9,08119 12,8 12,8 116,303232 116,239232 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-11 9,08619 9,08119 12,8 12,8 116,303232 116,239232 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-12 9,0455 9,0405 12,8 12,8 115,7824 115,7184 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-13 9,0505 9,0455 12,83 12,83 116,117915 116,053765 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-14 9,0455 9,0405 12,84 12,84 116,14422 116,08002 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-17 9,0685 9,0635 12,85 12,85 116,530225 116,465975 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-18 9,0585 9,0535 12,86 12,86 116,49231 116,42801 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-19 9,0225 9,0175 12,88 12,88 116,2098 116,1454 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-20 9,0315 9,0265 12,83 12,83 115,874145 115,809995 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-21 9,0505 9,0455 12,84 12,84 116,20842 116,14422 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-24 9,0655 9,0605 12,86 12,86 116,58233 116,51803 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-25 9,0715 9,0665 12,86 12,86 116,65949 116,59519 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-26 9,0885 9,0835 12,86 12,86 116,87811 116,81381 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-27 9,0675 9,0625 12,84 12,84 116,4267 116,3625 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-28 9,0955 9,0905 12,87 12,87 117,059085 116,994735 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-01-31 9,1075 9,1025 12,88 12,88 117,3046 117,2402 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-01 9,1035 9,0985 12,89 12,89 117,344115 117,279665 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-02 9,0905 9,0855 12,89 12,89 117,176545 117,112095 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-03 9,0695 9,0645 12,87 12,87 116,724465 116,660115 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-04 9,0895 9,0845 12,93 12,93 117,527235 117,462585 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-07 9,0755 9,0705 12,95 12,95 117,527725 117,462975 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-08 9,0895 9,0845 12,96 12,96 117,79992 117,73512 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-09 9,0695 9,0645 12,98 12,98 117,72211 117,65721 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-10 9,0805 9,0755 12,98 12,98 117,86489 117,79999 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-11 9,0935 9,0885 12,96 12,96 117,85176 117,78696 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-14 9,1105 9,1055 12,95 12,95 117,980975 117,916225 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-15 9,0765 9,0715 12,93 12,93 117,359145 117,294495 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-16 9,0705 9,0655 12,9 12,9 117,00945 116,94495 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-17 9,0925 9,0875 12,89 12,89 117,202325 117,137875 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-18 9,0945 9,0895 12,84 12,84 116,77338 116,70918 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-21 9,1185 9,1135 12,8 12,8 116,7168 116,6528 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-22 9,0975 9,0925 12,81 12,81 116,538975 116,474925 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-23 9,1045 9,0995 12,8 12,8 116,5376 116,4736 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-24 9,0715 9,0665 12,79 12,79 116,024485 115,960535 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-25 9,0845 9,0795 12,8 12,8 116,2816 116,2176 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-02-28 9,0505 9,0455 12,81 12,81 115,936905 115,872855 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-01 9,0565 9,0515 12,79 12,79 115,832635 115,768685 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-02 9,0645 9,0595 12,76 12,76 115,66302 115,59922 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-03 9,0675 9,0625 12,78 12,78 115,88265 115,81875 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-04 9,0415 9,0365 12,82 12,82 115,91203 115,84793 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-07 9,0425 9,0375 12,85 12,85 116,196125 116,131875 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-08 9,0345 9,0295 12,82 12,82 115,82229 115,75819 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-09 9,0365 9,0315 12,79 12,79 115,576835 115,512885 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-10 9,0655 9,0605 12,77 12,77 115,766435 115,702585 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-11 9,0795 9,0745 12,78 12,78 116,03601 115,97211 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-14 9,0695 9,0645 12,78 12,78 115,90821 115,84431 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-15 9,1035 9,0985 12,81 12,81 116,615835 116,551785 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-16 9,0975 9,0925 12,83 12,83 116,720925 116,656775 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-17 9,1045 9,0995 12,82 12,82 116,71969 116,65559 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-18 9,1035 9,0985 12,8 12,8 116,5248 116,4608 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-21 9,1265 9,1215 12,78 12,78 116,63667 116,57277 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-22 9,1265 9,1215 12,8 12,8 116,8192 116,7552 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-23 9,1165 9,1115 12,77 12,77 116,417705 116,353855 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-24 9,1135 9,1085 12,79 12,79 116,561665 116,497715 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-29 9,1315 9,1265 12,8 12,8 116,8832 116,8192 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-30 9,1425 9,1375 12,82 12,82 117,20685 117,14275 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-03-31 9,1405 9,1355 12,85 12,85 117,455425 117,391175 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-01 9,1645 9,1595 12,85 12,85 117,763825 117,699575 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-04 9,1695 9,1645 12,87 12,87 118,011465 117,947115 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-05 9,1745 9,1695 12,87 12,87 118,075815 118,011465 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-06 9,1705 9,1655 12,87 12,87 118,024335 117,959985 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-07 9,1505 9,1455 12,91 12,91 118,132955 118,068405 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-08 9,1625 9,1575 12,87 12,87 117,921375 117,857025 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-11 9,1705 9,1655 12,89 12,89 118,207745 118,143295 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-12 9,1525 9,1475 12,9 12,9 118,06725 118,00275 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-13 9,1495 9,1445 12,92 12,92 118,21154 118,14694 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-14 9,1685 9,1635 12,9 12,9 118,27365 118,20915 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-15 9,1925 9,1875 12,92 12,92 118,7671 118,7025 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-18 9,1805 9,1755 12,93 12,93 118,703865 118,639215 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-19 9,2035 9,1985 12,95 12,95 119,185325 119,120575 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-20 9,1915 9,1865 12,95 12,95 119,029925 118,965175 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-21 9,1855 9,1805 12,95 12,95 118,952225 118,887475 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-22 9,1625 9,1575 12,96 12,96 118,746 118,6812 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-25 9,1685 9,1635 12,98 12,98 119,00713 118,94223 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-26 9,1375 9,1325 12,98 12,98 118,60475 118,53985 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-27 9,1465 9,1415 13 13 118,9045 118,8395 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-28 9,1505 9,1455 13,01 13,01 119,048005 118,982955 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-04-29 9,1705 9,1655 13,01 13,01 119,308205 119,243155 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-02 9,1935 9,1885 13,01 13,01 119,607435 119,542385 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-03 9,2245 9,2195 13,03 13,03 120,195235 120,130085 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-04 9,1915 9,1865 13 13 119,4895 119,4245 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-06 9,1715 9,1665 12,98 12,98 119,04607 118,98117 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-09 9,1815 9,1765 13,01 13,01 119,451315 119,386265 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-10 9,1985 9,1935 13,05 13,05 120,040425 119,975175 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-11 9,2105 9,2055 13,08 13,08 120,47334 120,40794 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-12 9,2315 9,2265 13,07 13,07 120,655705 120,590355 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-13 9,2045 9,1995 13,09 13,09 120,486905 120,421455 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-17 9,2325 9,2275 13,08 13,08 120,7611 120,6957 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-18 9,2095 9,2045 13,1 13,1 120,64445 120,57895 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-19 9,1905 9,1855 13,09 13,09 120,303645 120,238195 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-20 9,1955 9,1905 13,07 13,07 120,185185 120,119835 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-23 9,1805 9,1755 13,11 13,11 120,356355 120,290805 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-24 9,1815 9,1765 13,13 13,13 120,553095 120,487445 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-25 9,1785 9,1735 13,14 13,14 120,60549 120,53979 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-26 9,1945 9,1895 13,12 13,12 120,63184 120,56624 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-27 9,1955 9,1905 13,11 13,11 120,553005 120,487455 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-30 9,1905 9,1855 13,11 13,11 120,487455 120,421905 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-05-31 9,1665 9,1615 13,16 13,16 120,63114 120,56534 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-01 9,1455 9,1405 13,19 13,19 120,629145 120,563195 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-02 9,1565 9,1515 13,21 13,21 120,957365 120,891315 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-03 9,1315 9,1265 13,21 13,21 120,627115 120,561065 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-07 9,1455 9,1405 13,27 13,27 121,360785 121,294435 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-08 9,1455 9,1405 13,3 13,3 121,63515 121,56865 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-09 9,1965 9,1915 13,3 13,3 122,31345 122,24695 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-10 9,1975 9,1925 13,29 13,29 122,234775 122,168325 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-13 9,2365 9,2315 13,25 13,25 122,383625 122,317375 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-14 9,2985 9,2935 13,24 13,24 123,11214 123,04594 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-15 9,2695 9,2645 13,18 13,18 122,17201 122,10611 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-16 9,2695 9,2645 13,16 13,16 121,98662 121,92082 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-17 9,2695 9,2645 13,19 13,19 122,264705 122,198755 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-20 9,2255 9,2205 13,19 13,19 121,684345 121,618395 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-21 9,2725 9,2675 13,26 13,26 122,95335 122,88705 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-22 9,2615 9,2565 13,32 13,32 123,36318 123,29658 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-27 9,3855 9,3805 13,34 13,34 125,20257 125,13587 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-28 9,3995 9,3945 13,3 13,3 125,01335 124,94685 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-29 9,4215 9,4165 13,29 13,29 125,211735 125,145285 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-06-30 9,4415 9,4365 13,33 13,33 125,855195 125,788545 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-01 9,4595 9,4545 13,31 13,31 125,905945 125,839395 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-04 9,4795 9,4745 13,29 13,29 125,982555 125,916105 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-05 9,4575 9,4525 13,26 13,26 125,40645 125,34015 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-06 9,4195 9,4145 13,25 13,25 124,808375 124,742125 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-07 9,3965 9,3915 13,29 13,29 124,879485 124,813035 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-08 9,4175 9,4125 13,29 13,29 125,158575 125,092125 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-11 9,4665 9,4615 13,26 13,26 125,52579 125,45949 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-12 9,4645 9,4595 13,26 13,26 125,49927 125,43297 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-13 9,3915 9,3865 13,23 13,23 124,249545 124,183395 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-14 9,3675 9,3625 13,21 13,21 123,744675 123,678625 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-15 9,4055 9,4005 13,21 13,21 124,246655 124,180605 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-18 9,3895 9,3845 13,24 13,24 124,31698 124,25078 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-19 9,4425 9,4375 13,22 13,22 124,82985 124,76375 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-20 9,4265 9,4215 13,21 13,21 124,524065 124,458015 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-21 9,4625 9,4575 13,21 13,21 124,999625 124,933575 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-22 9,4495 9,4445 13,27 13,27 125,394865 125,328515 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-25 9,4275 9,4225 13,29 13,29 125,291475 125,225025 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-26 9,4155 9,4105 13,26 13,26 124,84953 124,78323 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-27 9,4725 9,4675 13,28 13,28 125,7948 125,7284 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-28 9,4515 9,4465 13,27 13,27 125,421405 125,355055 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-07-29 9,3885 9,3835 13,27 13,27 124,585395 124,519045 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-01 9,3985 9,3935 13,22 13,22 124,24817 124,18207 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-02 9,3995 9,3945 13,2 13,2 124,0734 124,0074 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-03 9,3755 9,3705 13,21 13,21 123,850355 123,784305 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-04 9,3735 9,3685 13,22 13,22 123,91767 123,85157 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-05 9,3355 9,3305 13,18 13,18 123,04189 122,97599 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-08 9,3335 9,3285 13,22 13,22 123,38887 123,32277 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-09 9,3455 9,3405 13,18 13,18 123,17369 123,10779 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-10 9,3535 9,3485 13,2 13,2 123,4662 123,4002 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-11 9,3365 9,3315 13,2 13,2 123,2418 123,1758 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-12 9,3025 9,2975 13,24 13,24 123,1651 123,0989 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-16 9,2995 9,2945 13,3 13,3 123,68335 123,61685 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-17 9,3405 9,3355 13,29 13,29 124,135245 124,068795 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-18 9,3365 9,3315 13,32 13,32 124,36218 124,29558 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-19 9,3395 9,3345 13,32 13,32 124,40214 124,33554 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-22 9,3655 9,3605 13,32 13,32 124,74846 124,68186 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-23 9,3715 9,3665 13,34 13,34 125,01581 124,94911 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-24 9,3365 9,3315 13,34 13,34 124,54891 124,48221 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-25 9,3335 9,3285 13,36 13,36 124,69556 124,62876 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-26 9,3415 9,3365 13,36 13,36 124,80244 124,73564 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-29 9,3295 9,3245 13,36 13,36 124,64212 124,57532 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-30 9,3285 9,3235 13,36 13,36 124,62876 124,56196 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-08-31 9,3585 9,3535 13,4 13,4 125,4039 125,3369 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-01 9,3365 9,3315 13,44 13,44 125,48256 125,41536 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-02 9,3025 9,2975 13,44 13,44 125,0256 124,9584 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-05 9,2845 9,2795 13,45 13,45 124,876525 124,809275 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-06 9,3225 9,3175 13,43 13,43 125,201175 125,134025 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-07 9,3075 9,3025 13,42 13,42 124,90665 124,83955 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-08 9,3255 9,3205 13,44 13,44 125,33472 125,26752 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-09 9,3445 9,3395 13,45 13,45 125,683525 125,616275 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-12 9,3015 9,2965 13,4 13,4 124,6401 124,5731 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-13 9,3015 9,2965 13,42 13,42 124,82613 124,75903 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-14 9,3365 9,3315 13,42 13,42 125,29583 125,22873 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-15 9,3425 9,3375 13,41 13,41 125,282925 125,215875 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-16 9,3465 9,3415 13,38 13,38 125,05617 124,98927 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-19 9,3355 9,3305 13,42 13,42 125,28241 125,21531 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-20 9,3395 9,3345 13,43 13,43 125,429485 125,362335 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-21 9,3405 9,3355 13,48 13,48 125,90994 125,84254 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-22 9,3405 9,3355 13,48 13,48 125,90994 125,84254 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-23 9,3695 9,3645 13,39 13,39 125,457605 125,390655 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-26 9,3815 9,3765 13,39 13,39 125,618285 125,551335 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-27 9,3885 9,3835 13,39 13,39 125,712015 125,645065 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-28 9,3935 9,3885 13,39 13,39 125,778965 125,712015 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-29 9,3845 9,3795 13,38 13,38 125,56461 125,49771 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-09-30 9,3435 9,3385 13,39 13,39 125,109465 125,042515 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-03 9,3025 9,2975 13,36 13,36 124,2814 124,2146 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-04 9,3185 9,3135 13,37 13,37 124,588345 124,521495 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-05 9,3105 9,3055 13,38 13,38 124,57449 124,50759 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-06 9,3015 9,2965 13,36 13,36 124,26804 124,20124 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-07 9,3385 9,3335 13,36 13,36 124,76236 124,69556 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-10 9,3465 9,3415 13,38 13,38 125,05617 124,98927 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-11 9,3395 9,3345 13,36 13,36 124,77572 124,70892 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-12 9,3375 9,3325 13,33 13,33 124,468875 124,402225 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-13 9,3815 9,3765 13,29 13,29 124,680135 124,613685 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-14 9,4135 9,4085 13,29 13,29 125,105415 125,038965 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-17 9,4575 9,4525 13,28 13,28 125,5956 125,5292 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-18 9,4625 9,4575 13,29 13,29 125,756625 125,690175 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-19 9,4605 9,4555 13,31 13,31 125,919255 125,852705 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-20 9,4935 9,4885 13,28 13,28 126,07368 126,00728 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-21 9,4915 9,4865 13,33 13,33 126,521695 126,455045 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-24 9,5455 9,5405 13,34 13,34 127,33697 127,27027 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-25 9,5465 9,5415 13,28 13,28 126,77752 126,71112 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-26 9,4975 9,4925 13,23 13,23 125,651925 125,585775 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-27 9,5355 9,5305 13,2 13,2 125,8686 125,8026 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-28 9,5135 9,5085 13,2 13,2 125,5782 125,5122 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-10-31 9,5495 9,5445 13,22 13,22 126,24439 126,17829 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-02 9,5855 9,5805 13,16 13,16 126,14518 126,07938 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-03 9,6515 9,6465 13,15 13,15 126,917225 126,851475 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-04 9,5875 9,5825 13,13 13,13 125,883875 125,818225 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-07 9,6075 9,6025 13,13 13,13 126,146475 126,080825 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-08 9,5685 9,5635 13,16 13,16 125,92146 125,85566 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-09 9,5575 9,5525 13,1 13,1 125,20325 125,13775 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-10 9,6105 9,6055 13,11 13,11 125,993655 125,928105 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-11 9,6365 9,6315 13,12 13,12 126,43088 126,36528 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-14 9,5505 9,5455 13,12 13,12 125,30256 125,23696 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-15 9,5805 9,5755 13,13 13,13 125,791965 125,726315 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-16 9,6235 9,6185 13,2 13,2 127,0302 126,9642 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-17 9,6355 9,6305 13,18 13,18 126,99589 126,92999 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-18 9,6085 9,6035 13,1 13,1 125,87135 125,80585 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-21 9,5915 9,5865 13,16 13,16 126,22414 126,15834 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-22 9,5585 9,5535 13,15 13,15 125,694275 125,628525 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-23 9,5155 9,5105 13,17 13,17 125,319135 125,253285 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-24 9,5125 9,5075 13,23 13,23 125,850375 125,784225 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-25 9,4965 9,4915 13,22 13,22 125,54373 125,47763 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-28 9,4835 9,4785 13,22 13,22 125,37187 125,30577 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-29 9,4785 9,4735 13,19 13,19 125,021415 124,955465 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-11-30 9,5295 9,5245 13,2 13,2 125,7894 125,7234 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-01 9,5165 9,5115 13,24 13,24 125,99846 125,93226 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-02 9,4905 9,4855 13,25 13,25 125,749125 125,682875 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-05 9,4065 9,4015 13,24 13,24 124,54206 124,47586 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-06 9,4185 9,4135 13,27 13,27 124,983495 124,917145 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-07 9,4255 9,4205 13,24 13,24 124,79362 124,72742 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-08 9,3965 9,3915 13,26 13,26 124,59759 124,53129 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-12 9,4315 9,4265 13,24 13,24 124,87306 124,80686 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-13 9,4295 9,4245 13,25 13,25 124,940875 124,874625 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-14 9,4365 9,4315 13,26 13,26 125,12799 125,06169 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-15 9,4345 9,4295 13,26 13,26 125,10147 125,03517 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-16 9,4765 9,4715 13,28 13,28 125,84792 125,78152 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-19 9,4535 9,4485 13,29 13,29 125,637015 125,570565 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-20 9,4015 9,3965 13,29 13,29 124,945935 124,879485 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-21 9,4485 9,4435 13,25 13,25 125,192625 125,126375 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-22 9,4365 9,4315 13,27 13,27 125,222355 125,156005 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-23 9,4425 9,4375 13,28 13,28 125,3964 125,33 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-27 9,4915 9,4865 13,3 13,3 126,23695 126,17045 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-28 9,4345 9,4295 13,33 13,33 125,761885 125,695235 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-29 9,4115 9,4065 13,31 13,31 125,267065 125,200515 604041 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Bond Fund EUR 2005-12-30 9,4325 9,4275 13,33 13,33 125,735225 125,668575 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-03 9,0065 9,0015 12,41 12,41 111,770665 111,708615 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-04 9,0345 9,0295 12,4 12,4 112,0278 111,9658 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-05 9,0615 9,0565 12,4 12,4 112,3626 112,3006 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-07 9,0615 9,0565 12,45 12,45 112,815675 112,753425 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-10 9,08619 9,08119 12,45 12,45 113,1230655 113,0608155 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-11 9,08619 9,08119 12,45 12,45 113,1230655 113,0608155 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-12 9,0455 9,0405 12,45 12,45 112,616475 112,554225 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-13 9,0505 9,0455 12,48 12,48 112,95024 112,88784 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-14 9,0455 9,0405 12,47 12,47 112,797385 112,735035 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-17 9,0685 9,0635 12,48 12,48 113,17488 113,11248 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-18 9,0585 9,0535 12,48 12,48 113,05008 112,98768 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-19 9,0225 9,0175 12,49 12,49 112,691025 112,628575 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-20 9,0315 9,0265 12,46 12,46 112,53249 112,47019 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-21 9,0505 9,0455 12,46 12,46 112,76923 112,70693 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-24 9,0655 9,0605 12,48 12,48 113,13744 113,07504 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-25 9,0715 9,0665 12,49 12,49 113,303035 113,240585 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-26 9,0885 9,0835 12,49 12,49 113,515365 113,452915 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-27 9,0675 9,0625 12,48 12,48 113,1624 113,1 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-28 9,0955 9,0905 12,5 12,5 113,69375 113,63125 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-01-31 9,1075 9,1025 12,51 12,51 113,934825 113,872275 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-01 9,1035 9,0985 12,52 12,52 113,97582 113,91322 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-02 9,0905 9,0855 12,52 12,52 113,81306 113,75046 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-03 9,0695 9,0645 12,51 12,51 113,459445 113,396895 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-04 9,0895 9,0845 12,54 12,54 113,98233 113,91963 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-07 9,0755 9,0705 12,55 12,55 113,897525 113,834775 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-08 9,0895 9,0845 12,56 12,56 114,16412 114,10132 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-09 9,0695 9,0645 12,58 12,58 114,09431 114,03141 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-10 9,0805 9,0755 12,59 12,59 114,323495 114,260545 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-11 9,0935 9,0885 12,59 12,59 114,487165 114,424215 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-14 9,1105 9,1055 12,58 12,58 114,61009 114,54719 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-15 9,0765 9,0715 12,56 12,56 114,00084 113,93804 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-16 9,0705 9,0655 12,55 12,55 113,834775 113,772025 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-17 9,0925 9,0875 12,54 12,54 114,01995 113,95725 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-18 9,0945 9,0895 12,49 12,49 113,590305 113,527855 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-21 9,1185 9,1135 12,47 12,47 113,707695 113,645345 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-22 9,0975 9,0925 12,48 12,48 113,5368 113,4744 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-23 9,1045 9,0995 12,48 12,48 113,62416 113,56176 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-24 9,0715 9,0665 12,47 12,47 113,121605 113,059255 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-25 9,0845 9,0795 12,48 12,48 113,37456 113,31216 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-02-28 9,0505 9,0455 12,48 12,48 112,95024 112,88784 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-01 9,0565 9,0515 12,47 12,47 112,934555 112,872205 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-02 9,0645 9,0595 12,46 12,46 112,94367 112,88137 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-03 9,0675 9,0625 12,47 12,47 113,071725 113,009375 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-04 9,0415 9,0365 12,51 12,51 113,109165 113,046615 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-07 9,0425 9,0375 12,53 12,53 113,302525 113,239875 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-08 9,0345 9,0295 12,51 12,51 113,021595 112,959045 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-09 9,0365 9,0315 12,48 12,48 112,77552 112,71312 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-10 9,0655 9,0605 12,47 12,47 113,046785 112,984435 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-11 9,0795 9,0745 12,47 12,47 113,221365 113,159015 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-14 9,0695 9,0645 12,47 12,47 113,096665 113,034315 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-15 9,1035 9,0985 12,49 12,49 113,702715 113,640265 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-16 9,0975 9,0925 12,48 12,48 113,5368 113,4744 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-17 9,1045 9,0995 12,47 12,47 113,533115 113,470765 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-18 9,1035 9,0985 12,45 12,45 113,338575 113,276325 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-21 9,1265 9,1215 12,43 12,43 113,442395 113,380245 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-22 9,1265 9,1215 12,43 12,43 113,442395 113,380245 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-23 9,1165 9,1115 12,41 12,41 113,135765 113,073715 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-24 9,1135 9,1085 12,43 12,43 113,280805 113,218655 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-29 9,1315 9,1265 12,41 12,41 113,321915 113,259865 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-30 9,1425 9,1375 12,43 12,43 113,641275 113,579125 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-03-31 9,1405 9,1355 12,44 12,44 113,70782 113,64562 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-01 9,1645 9,1595 12,45 12,45 114,098025 114,035775 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-04 9,1695 9,1645 12,45 12,45 114,160275 114,098025 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-05 9,1745 9,1695 12,45 12,45 114,222525 114,160275 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-06 9,1705 9,1655 12,46 12,46 114,26443 114,20213 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-07 9,1505 9,1455 12,49 12,49 114,289745 114,227295 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-08 9,1625 9,1575 12,48 12,48 114,348 114,2856 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-11 9,1705 9,1655 12,48 12,48 114,44784 114,38544 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-12 9,1525 9,1475 12,49 12,49 114,314725 114,252275 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-13 9,1495 9,1445 12,49 12,49 114,277255 114,214805 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-14 9,1685 9,1635 12,47 12,47 114,331195 114,268845 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-15 9,1925 9,1875 12,47 12,47 114,630475 114,568125 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-18 9,1805 9,1755 12,46 12,46 114,38903 114,32673 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-19 9,2035 9,1985 12,49 12,49 114,951715 114,889265 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-20 9,1915 9,1865 12,5 12,5 114,89375 114,83125 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-21 9,1855 9,1805 12,5 12,5 114,81875 114,75625 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-22 9,1625 9,1575 12,51 12,51 114,622875 114,560325 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-25 9,1685 9,1635 12,52 12,52 114,78962 114,72702 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-26 9,1375 9,1325 12,52 12,52 114,4015 114,3389 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-27 9,1465 9,1415 12,53 12,53 114,605645 114,542995 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-28 9,1505 9,1455 12,54 12,54 114,74727 114,68457 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-04-29 9,1705 9,1655 12,54 12,54 114,99807 114,93537 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-02 9,1935 9,1885 12,54 12,54 115,28649 115,22379 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-03 9,2245 9,2195 12,55 12,55 115,767475 115,704725 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-04 9,1915 9,1865 12,53 12,53 115,169495 115,106845 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-06 9,1715 9,1665 12,51 12,51 114,735465 114,672915 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-09 9,1815 9,1765 12,53 12,53 115,044195 114,981545 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-10 9,1985 9,1935 12,55 12,55 115,441175 115,378425 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-11 9,2105 9,2055 12,56 12,56 115,68388 115,62108 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-12 9,2315 9,2265 12,55 12,55 115,855325 115,792575 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-13 9,2045 9,1995 12,56 12,56 115,60852 115,54572 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-17 9,2325 9,2275 12,54 12,54 115,77555 115,71285 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-18 9,2095 9,2045 12,55 12,55 115,579225 115,516475 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-19 9,1905 9,1855 12,55 12,55 115,340775 115,278025 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-20 9,1955 9,1905 12,54 12,54 115,31157 115,24887 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-23 9,1805 9,1755 12,57 12,57 115,398885 115,336035 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-24 9,1815 9,1765 12,6 12,6 115,6869 115,6239 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-25 9,1785 9,1735 12,61 12,61 115,740885 115,677835 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-26 9,1945 9,1895 12,61 12,61 115,942645 115,879595 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-27 9,1955 9,1905 12,61 12,61 115,955255 115,892205 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-30 9,1905 9,1855 12,62 12,62 115,98411 115,92101 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-05-31 9,1665 9,1615 12,65 12,65 115,956225 115,892975 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-01 9,1455 9,1405 12,67 12,67 115,873485 115,810135 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-02 9,1565 9,1515 12,69 12,69 116,195985 116,132535 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-03 9,1315 9,1265 12,69 12,69 115,878735 115,815285 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-07 9,1455 9,1405 12,73 12,73 116,422215 116,358565 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-08 9,1455 9,1405 12,75 12,75 116,605125 116,541375 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-09 9,1965 9,1915 12,75 12,75 117,255375 117,191625 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-10 9,1975 9,1925 12,74 12,74 117,17615 117,11245 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-13 9,2365 9,2315 12,72 12,72 117,48828 117,42468 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-14 9,2985 9,2935 12,72 12,72 118,27692 118,21332 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-15 9,2695 9,2645 12,67 12,67 117,444565 117,381215 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-16 9,2695 9,2645 12,66 12,66 117,35187 117,28857 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-17 9,2695 9,2645 12,68 12,68 117,53726 117,47386 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-20 9,2255 9,2205 12,68 12,68 116,97934 116,91594 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-21 9,2725 9,2675 12,73 12,73 118,038925 117,975275 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-22 9,2615 9,2565 12,78 12,78 118,36197 118,29807 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-27 9,3855 9,3805 12,79 12,79 120,040545 119,976595 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-28 9,3995 9,3945 12,77 12,77 120,031615 119,967765 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-29 9,4215 9,4165 12,77 12,77 120,312555 120,248705 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-06-30 9,4415 9,4365 12,79 12,79 120,756785 120,692835 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-01 9,4595 9,4545 12,78 12,78 120,89241 120,82851 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-04 9,4795 9,4745 12,77 12,77 121,053215 120,989365 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-05 9,4575 9,4525 12,75 12,75 120,583125 120,519375 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-06 9,4195 9,4145 12,75 12,75 120,098625 120,034875 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-07 9,3965 9,3915 12,77 12,77 119,993305 119,929455 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-08 9,4175 9,4125 12,78 12,78 120,35565 120,29175 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-11 9,4665 9,4615 12,76 12,76 120,79254 120,72874 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-12 9,4645 9,4595 12,76 12,76 120,76702 120,70322 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-13 9,3915 9,3865 12,75 12,75 119,741625 119,677875 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-14 9,3675 9,3625 12,74 12,74 119,34195 119,27825 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-15 9,4055 9,4005 12,74 12,74 119,82607 119,76237 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-18 9,3895 9,3845 12,76 12,76 119,81002 119,74622 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-19 9,4425 9,4375 12,74 12,74 120,29745 120,23375 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-20 9,4265 9,4215 12,73 12,73 119,999345 119,935695 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-21 9,4625 9,4575 12,74 12,74 120,55225 120,48855 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-22 9,4495 9,4445 12,77 12,77 120,670115 120,606265 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-25 9,4275 9,4225 12,78 12,78 120,48345 120,41955 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-26 9,4155 9,4105 12,76 12,76 120,14178 120,07798 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-27 9,4725 9,4675 12,77 12,77 120,963825 120,899975 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-28 9,4515 9,4465 12,77 12,77 120,695655 120,631805 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-07-29 9,3885 9,3835 12,76 12,76 119,79726 119,73346 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-01 9,3985 9,3935 12,73 12,73 119,642905 119,579255 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-02 9,3995 9,3945 12,72 12,72 119,56164 119,49804 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-03 9,3755 9,3705 12,73 12,73 119,350115 119,286465 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-04 9,3735 9,3685 12,72 12,72 119,23092 119,16732 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-05 9,3355 9,3305 12,69 12,69 118,467495 118,404045 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-08 9,3335 9,3285 12,72 12,72 118,72212 118,65852 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-09 9,3455 9,3405 12,7 12,7 118,68785 118,62435 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-10 9,3535 9,3485 12,71 12,71 118,882985 118,819435 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-11 9,3365 9,3315 12,72 12,72 118,76028 118,69668 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-12 9,3025 9,2975 12,75 12,75 118,606875 118,543125 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-16 9,2995 9,2945 12,8 12,8 119,0336 118,9696 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-17 9,3405 9,3355 12,79 12,79 119,464995 119,401045 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-18 9,3365 9,3315 12,82 12,82 119,69393 119,62983 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-19 9,3395 9,3345 12,81 12,81 119,638995 119,574945 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-22 9,3655 9,3605 12,82 12,82 120,06571 120,00161 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-23 9,3715 9,3665 12,83 12,83 120,236345 120,172195 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-24 9,3365 9,3315 12,83 12,83 119,787295 119,723145 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-25 9,3335 9,3285 12,84 12,84 119,84214 119,77794 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-26 9,3415 9,3365 12,84 12,84 119,94486 119,88066 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-29 9,3295 9,3245 12,84 12,84 119,79078 119,72658 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-30 9,3285 9,3235 12,84 12,84 119,77794 119,71374 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-08-31 9,3585 9,3535 12,87 12,87 120,443895 120,379545 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-01 9,3365 9,3315 12,89 12,89 120,347485 120,283035 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-02 9,3025 9,2975 12,89 12,89 119,909225 119,844775 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-05 9,2845 9,2795 12,9 12,9 119,77005 119,70555 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-06 9,3225 9,3175 12,89 12,89 120,167025 120,102575 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-07 9,3075 9,3025 12,88 12,88 119,8806 119,8162 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-08 9,3255 9,3205 12,9 12,9 120,29895 120,23445 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-09 9,3445 9,3395 12,91 12,91 120,637495 120,572945 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-12 9,3015 9,2965 12,87 12,87 119,710305 119,645955 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-13 9,3015 9,2965 12,89 12,89 119,896335 119,831885 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-14 9,3365 9,3315 12,89 12,89 120,347485 120,283035 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-15 9,3425 9,3375 12,88 12,88 120,3314 120,267 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-16 9,3465 9,3415 12,86 12,86 120,19599 120,13169 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-19 9,3355 9,3305 12,89 12,89 120,334595 120,270145 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-20 9,3395 9,3345 12,89 12,89 120,386155 120,321705 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-21 9,3405 9,3355 12,93 12,93 120,772665 120,708015 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-22 9,3405 9,3355 12,92 12,92 120,67926 120,61466 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-23 9,3695 9,3645 12,87 12,87 120,585465 120,521115 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-26 9,3815 9,3765 12,87 12,87 120,739905 120,675555 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-27 9,3885 9,3835 12,87 12,87 120,829995 120,765645 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-28 9,3935 9,3885 12,87 12,87 120,894345 120,829995 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-29 9,3845 9,3795 12,85 12,85 120,590825 120,526575 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-09-30 9,3435 9,3385 12,86 12,86 120,15741 120,09311 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-03 9,3025 9,2975 12,83 12,83 119,351075 119,286925 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-04 9,3185 9,3135 12,84 12,84 119,64954 119,58534 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-05 9,3105 9,3055 12,85 12,85 119,639925 119,575675 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-06 9,3015 9,2965 12,84 12,84 119,43126 119,36706 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-07 9,3385 9,3335 12,83 12,83 119,812955 119,748805 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-10 9,3465 9,3415 12,83 12,83 119,915595 119,851445 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-11 9,3395 9,3345 12,83 12,83 119,825785 119,761635 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-12 9,3375 9,3325 12,83 12,83 119,800125 119,735975 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-13 9,3815 9,3765 12,78 12,78 119,89557 119,83167 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-14 9,4135 9,4085 12,78 12,78 120,30453 120,24063 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-17 9,4575 9,4525 12,78 12,78 120,86685 120,80295 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-18 9,4625 9,4575 12,78 12,78 120,93075 120,86685 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-19 9,4605 9,4555 12,8 12,8 121,0944 121,0304 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-20 9,4935 9,4885 12,78 12,78 121,32693 121,26303 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-21 9,4915 9,4865 12,81 12,81 121,586115 121,522065 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-24 9,5455 9,5405 12,82 12,82 122,37331 122,30921 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-25 9,5465 9,5415 12,78 12,78 122,00427 121,94037 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-26 9,4975 9,4925 12,74 12,74 120,99815 120,93445 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-27 9,5355 9,5305 12,72 12,72 121,29156 121,22796 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-28 9,5135 9,5085 12,72 12,72 121,01172 120,94812 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-10-31 9,5495 9,5445 12,72 12,72 121,46964 121,40604 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-02 9,5855 9,5805 12,68 12,68 121,54414 121,48074 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-03 9,6515 9,6465 12,68 12,68 122,38102 122,31762 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-04 9,5875 9,5825 12,66 12,66 121,37775 121,31445 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-07 9,6075 9,6025 12,66 12,66 121,63095 121,56765 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-08 9,5685 9,5635 12,68 12,68 121,32858 121,26518 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-09 9,5575 9,5525 12,64 12,64 120,8068 120,7436 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-10 9,6105 9,6055 12,65 12,65 121,572825 121,509575 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-11 9,6365 9,6315 12,66 12,66 121,99809 121,93479 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-14 9,5505 9,5455 12,66 12,66 120,90933 120,84603 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-15 9,5805 9,5755 12,67 12,67 121,384935 121,321585 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-16 9,6235 9,6185 12,72 12,72 122,41092 122,34732 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-17 9,6355 9,6305 12,7 12,7 122,37085 122,30735 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-18 9,6085 9,6035 12,63 12,63 121,355355 121,292205 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-21 9,5915 9,5865 12,68 12,68 121,62022 121,55682 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-22 9,5585 9,5535 12,67 12,67 121,106195 121,042845 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-23 9,5155 9,5105 12,68 12,68 120,65654 120,59314 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-24 9,5125 9,5075 12,74 12,74 121,18925 121,12555 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-25 9,4965 9,4915 12,73 12,73 120,890445 120,826795 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-28 9,4835 9,4785 12,73 12,73 120,724955 120,661305 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-29 9,4785 9,4735 12,71 12,71 120,471735 120,408185 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-11-30 9,5295 9,5245 12,71 12,71 121,119945 121,056395 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-01 9,5165 9,5115 12,74 12,74 121,24021 121,17651 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-02 9,4905 9,4855 12,75 12,75 121,003875 120,940125 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-05 9,4065 9,4015 12,74 12,74 119,83881 119,77511 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-06 9,4185 9,4135 12,76 12,76 120,18006 120,11626 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-07 9,4255 9,4205 12,74 12,74 120,08087 120,01717 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-08 9,3965 9,3915 12,75 12,75 119,805375 119,741625 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-12 9,4315 9,4265 12,72 12,72 119,96868 119,90508 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-13 9,4295 9,4245 12,72 12,72 119,94324 119,87964 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-14 9,4365 9,4315 12,73 12,73 120,126645 120,062995 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-15 9,4345 9,4295 12,73 12,73 120,101185 120,037535 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-16 9,4765 9,4715 12,74 12,74 120,73061 120,66691 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-19 9,4535 9,4485 12,75 12,75 120,532125 120,468375 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-20 9,4015 9,3965 12,74 12,74 119,77511 119,71141 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-21 9,4485 9,4435 12,71 12,71 120,090435 120,026885 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-22 9,4365 9,4315 12,72 12,72 120,03228 119,96868 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-23 9,4425 9,4375 12,73 12,73 120,203025 120,139375 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-27 9,4915 9,4865 12,74 12,74 120,92171 120,85801 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-28 9,4345 9,4295 12,76 12,76 120,38422 120,32042 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-29 9,4115 9,4065 12,75 12,75 119,996625 119,932875 212860 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro Corporate Bond Fund EUR 2005-12-30 9,4325 9,4275 12,76 12,76 120,3587 120,2949 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-03 9,0065 9,0015 14,23 14,23 128,162495 128,091345 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-04 9,0345 9,0295 14,25 14,25 128,741625 128,670375 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-05 9,0615 9,0565 14,23 14,23 128,945145 128,873995 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-07 9,0615 9,0565 14,22 14,22 128,85453 128,78343 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-10 9,08619 9,08119 14,22 14,22 129,2056218 129,1345218 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-11 9,08619 9,08119 14,22 14,22 129,2056218 129,1345218 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-12 9,0455 9,0405 14,22 14,22 128,62701 128,55591 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-13 9,0505 9,0455 14,22 14,22 128,69811 128,62701 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-14 9,0455 9,0405 14,22 14,22 128,62701 128,55591 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-17 9,0685 9,0635 14,23 14,23 129,044755 128,973605 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-18 9,0585 9,0535 14,21 14,21 128,721285 128,650235 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-19 9,0225 9,0175 14,22 14,22 128,29995 128,22885 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-20 9,0315 9,0265 14,2 14,2 128,2473 128,1763 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-21 9,0505 9,0455 14,19 14,19 128,426595 128,355645 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-24 9,0655 9,0605 14,2 14,2 128,7301 128,6591 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-25 9,0715 9,0665 14,23 14,23 129,087445 129,016295 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-26 9,0885 9,0835 14,26 14,26 129,60201 129,53071 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-27 9,0675 9,0625 14,29 14,29 129,574575 129,503125 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-28 9,0955 9,0905 14,3 14,3 130,06565 129,99415 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-01-31 9,1075 9,1025 14,31 14,31 130,328325 130,256775 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-01 9,1035 9,0985 14,33 14,33 130,453155 130,381505 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-02 9,0905 9,0855 14,35 14,35 130,448675 130,376925 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-03 9,0695 9,0645 14,36 14,36 130,23802 130,16622 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-04 9,0895 9,0845 14,37 14,37 130,616115 130,544265 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-07 9,0755 9,0705 14,39 14,39 130,596445 130,524495 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-08 9,0895 9,0845 14,42 14,42 131,07059 130,99849 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-09 9,0695 9,0645 14,45 14,45 131,054275 130,982025 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-10 9,0805 9,0755 14,46 14,46 131,30403 131,23173 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-11 9,0935 9,0885 14,47 14,47 131,582945 131,510595 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-14 9,1105 9,1055 14,5 14,5 132,10225 132,02975 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-15 9,0765 9,0715 14,53 14,53 131,881545 131,808895 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-16 9,0705 9,0655 14,55 14,55 131,975775 131,903025 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-17 9,0925 9,0875 14,55 14,55 132,295875 132,223125 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-18 9,0945 9,0895 14,55 14,55 132,324975 132,252225 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-21 9,1185 9,1135 14,52 14,52 132,40062 132,32802 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-22 9,0975 9,0925 14,53 14,53 132,186675 132,114025 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-23 9,1045 9,0995 14,52 14,52 132,19734 132,12474 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-24 9,0715 9,0665 14,53 14,53 131,808895 131,736245 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-25 9,0845 9,0795 14,53 14,53 131,997785 131,925135 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-02-28 9,0505 9,0455 14,56 14,56 131,77528 131,70248 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-01 9,0565 9,0515 14,58 14,58 132,04377 131,97087 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-02 9,0645 9,0595 14,59 14,59 132,251055 132,178105 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-03 9,0675 9,0625 14,58 14,58 132,20415 132,13125 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-04 9,0415 9,0365 14,58 14,58 131,82507 131,75217 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-07 9,0425 9,0375 14,59 14,59 131,930075 131,857125 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-08 9,0345 9,0295 14,61 14,61 131,994045 131,920995 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-09 9,0365 9,0315 14,62 14,62 132,11363 132,04053 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-10 9,0655 9,0605 14,6 14,6 132,3563 132,2833 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-11 9,0795 9,0745 14,6 14,6 132,5607 132,4877 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-14 9,0695 9,0645 14,56 14,56 132,05192 131,97912 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-15 9,1035 9,0985 14,54 14,54 132,36489 132,29219 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-16 9,0975 9,0925 14,49 14,49 131,822775 131,750325 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-17 9,1045 9,0995 14,45 14,45 131,560025 131,487775 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-18 9,1035 9,0985 14,43 14,43 131,363505 131,291355 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-21 9,1265 9,1215 14,29 14,29 130,417685 130,346235 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-22 9,1265 9,1215 14,24 14,24 129,96136 129,89016 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-23 9,1165 9,1115 14,22 14,22 129,63663 129,56553 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-24 9,1135 9,1085 14,25 14,25 129,867375 129,796125 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-29 9,1315 9,1265 14,23 14,23 129,941245 129,870095 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-30 9,1425 9,1375 14,2 14,2 129,8235 129,7525 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-03-31 9,1405 9,1355 14,15 14,15 129,338075 129,267325 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-01 9,1645 9,1595 14,13 14,13 129,494385 129,423735 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-04 9,1695 9,1645 14,08 14,08 129,10656 129,03616 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-05 9,1745 9,1695 14,09 14,09 129,268705 129,198255 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-06 9,1705 9,1655 14,14 14,14 129,67087 129,60017 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-07 9,1505 9,1455 14,19 14,19 129,845595 129,774645 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-08 9,1625 9,1575 14,24 14,24 130,474 130,4028 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-11 9,1705 9,1655 14,23 14,23 130,496215 130,425065 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-12 9,1525 9,1475 14,24 14,24 130,3316 130,2604 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-13 9,1495 9,1445 14,23 14,23 130,197385 130,126235 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-14 9,1685 9,1635 14,18 14,18 130,00933 129,93843 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-15 9,1925 9,1875 14,11 14,11 129,706175 129,635625 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-18 9,1805 9,1755 14,05 14,05 128,986025 128,915775 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-19 9,2035 9,1985 14,04 14,04 129,21714 129,14694 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-20 9,1915 9,1865 14,12 14,12 129,78398 129,71338 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-21 9,1855 9,1805 14,16 14,16 130,06668 129,99588 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-22 9,1625 9,1575 14,18 14,18 129,92425 129,85335 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-25 9,1685 9,1635 14,19 14,19 130,101015 130,030065 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-26 9,1375 9,1325 14,17 14,17 129,478375 129,407525 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-27 9,1465 9,1415 14,13 14,13 129,240045 129,169395 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-28 9,1505 9,1455 14,12 14,12 129,20506 129,13446 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-04-29 9,1705 9,1655 14,09 14,09 129,212345 129,141895 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-02 9,1935 9,1885 14,09 14,09 129,536415 129,465965 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-03 9,2245 9,2195 14,08 14,08 129,88096 129,81056 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-04 9,1915 9,1865 14,04 14,04 129,04866 128,97846 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-06 9,1715 9,1665 14,02 14,02 128,58443 128,51433 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-09 9,1815 9,1765 14 14 128,541 128,471 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-10 9,1985 9,1935 13,93 13,93 128,135105 128,065455 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-11 9,2105 9,2055 13,87 13,87 127,749635 127,680285 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-12 9,2315 9,2265 13,87 13,87 128,040905 127,971555 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-13 9,2045 9,1995 13,81 13,81 127,114145 127,045095 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-17 9,2325 9,2275 13,6 13,6 125,562 125,494 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-18 9,2095 9,2045 13,63 13,63 125,525485 125,457335 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-19 9,1905 9,1855 13,73 13,73 126,185565 126,116915 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-20 9,1955 9,1905 13,78 13,78 126,71399 126,64509 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-23 9,1805 9,1755 13,85 13,85 127,149925 127,080675 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-24 9,1815 9,1765 13,89 13,89 127,531035 127,461585 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-25 9,1785 9,1735 13,95 13,95 128,040075 127,970325 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-26 9,1945 9,1895 14,02 14,02 128,90689 128,83679 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-27 9,1955 9,1905 14,05 14,05 129,196775 129,126525 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-30 9,1905 9,1855 14,07 14,07 129,310335 129,239985 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-05-31 9,1665 9,1615 14,07 14,07 128,972655 128,902305 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-01 9,1455 9,1405 14,07 14,07 128,677185 128,606835 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-02 9,1565 9,1515 14,15 14,15 129,564475 129,493725 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-03 9,1315 9,1265 14,2 14,2 129,6673 129,5963 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-07 9,1455 9,1405 14,22 14,22 130,04901 129,97791 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-08 9,1455 9,1405 14,25 14,25 130,323375 130,252125 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-09 9,1965 9,1915 14,23 14,23 130,866195 130,795045 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-10 9,1975 9,1925 14,23 14,23 130,880425 130,809275 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-13 9,2365 9,2315 14,23 14,23 131,435395 131,364245 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-14 9,2985 9,2935 14,26 14,26 132,59661 132,52531 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-15 9,2695 9,2645 14,29 14,29 132,461155 132,389705 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-16 9,2695 9,2645 14,29 14,29 132,461155 132,389705 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-17 9,2695 9,2645 14,3 14,3 132,55385 132,48235 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-20 9,2255 9,2205 14,32 14,32 132,10916 132,03756 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-21 9,2725 9,2675 14,32 14,32 132,7822 132,7106 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-22 9,2615 9,2565 14,33 14,33 132,717295 132,645645 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-27 9,3855 9,3805 14,35 14,35 134,681925 134,610175 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-28 9,3995 9,3945 14,37 14,37 135,070815 134,998965 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-29 9,4215 9,4165 14,4 14,4 135,6696 135,5976 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-06-30 9,4415 9,4365 14,43 14,43 136,240845 136,168695 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-01 9,4595 9,4545 14,43 14,43 136,500585 136,428435 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-04 9,4795 9,4745 14,44 14,44 136,88398 136,81178 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-05 9,4575 9,4525 14,47 14,47 136,850025 136,777675 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-06 9,4195 9,4145 14,49 14,49 136,488555 136,416105 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-07 9,3965 9,3915 14,45 14,45 135,779425 135,707175 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-08 9,4175 9,4125 14,46 14,46 136,17705 136,10475 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-11 9,4665 9,4615 14,52 14,52 137,45358 137,38098 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-12 9,4645 9,4595 14,57 14,57 137,897765 137,824915 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-13 9,3915 9,3865 14,58 14,58 136,92807 136,85517 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-14 9,3675 9,3625 14,6 14,6 136,7655 136,6925 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-15 9,4055 9,4005 14,62 14,62 137,50841 137,43531 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-18 9,3895 9,3845 14,65 14,65 137,556175 137,482925 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-19 9,4425 9,4375 14,64 14,64 138,2382 138,165 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-20 9,4265 9,4215 14,62 14,62 137,81543 137,74233 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-21 9,4625 9,4575 14,63 14,63 138,436375 138,363225 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-22 9,4495 9,4445 14,64 14,64 138,34068 138,26748 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-25 9,4275 9,4225 14,64 14,64 138,0186 137,9454 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-26 9,4155 9,4105 14,59 14,59 137,372145 137,299195 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-27 9,4725 9,4675 14,55 14,55 137,824875 137,752125 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-28 9,4515 9,4465 14,55 14,55 137,519325 137,446575 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-07-29 9,3885 9,3835 14,57 14,57 136,790445 136,717595 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-01 9,3985 9,3935 14,58 14,58 137,03013 136,95723 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-02 9,3995 9,3945 14,59 14,59 137,138705 137,065755 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-03 9,3755 9,3705 14,6 14,6 136,8823 136,8093 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-04 9,3735 9,3685 14,62 14,62 137,04057 136,96747 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-05 9,3355 9,3305 14,61 14,61 136,391655 136,318605 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-08 9,3335 9,3285 14,62 14,62 136,45577 136,38267 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-09 9,3455 9,3405 14,6 14,6 136,4443 136,3713 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-10 9,3535 9,3485 14,61 14,61 136,654635 136,581585 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-11 9,3365 9,3315 14,62 14,62 136,49963 136,42653 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-12 9,3025 9,2975 14,63 14,63 136,095575 136,022425 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-16 9,2995 9,2945 14,66 14,66 136,33067 136,25737 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-17 9,3405 9,3355 14,67 14,67 137,025135 136,951785 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-18 9,3365 9,3315 14,68 14,68 137,05982 136,98642 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-19 9,3395 9,3345 14,7 14,7 137,29065 137,21715 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-22 9,3655 9,3605 14,74 14,74 138,04747 137,97377 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-23 9,3715 9,3665 14,77 14,77 138,417055 138,343205 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-24 9,3365 9,3315 14,76 14,76 137,80674 137,73294 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-25 9,3335 9,3285 14,77 14,77 137,855795 137,781945 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-26 9,3415 9,3365 14,77 14,77 137,973955 137,900105 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-29 9,3295 9,3245 14,78 14,78 137,89001 137,81611 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-30 9,3285 9,3235 14,77 14,77 137,781945 137,708095 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-08-31 9,3585 9,3535 14,77 14,77 138,225045 138,151195 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-01 9,3365 9,3315 14,76 14,76 137,80674 137,73294 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-02 9,3025 9,2975 14,74 14,74 137,11885 137,04515 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-05 9,2845 9,2795 14,75 14,75 136,946375 136,872625 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-06 9,3225 9,3175 14,76 14,76 137,6001 137,5263 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-07 9,3075 9,3025 14,78 14,78 137,56485 137,49095 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-08 9,3255 9,3205 14,8 14,8 138,0174 137,9434 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-09 9,3445 9,3395 14,81 14,81 138,392045 138,317995 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-12 9,3015 9,2965 14,84 14,84 138,03426 137,96006 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-13 9,3015 9,2965 14,85 14,85 138,127275 138,053025 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-14 9,3365 9,3315 14,86 14,86 138,74039 138,66609 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-15 9,3425 9,3375 14,86 14,86 138,82955 138,75525 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-16 9,3465 9,3415 14,86 14,86 138,88899 138,81469 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-19 9,3355 9,3305 14,84 14,84 138,53882 138,46462 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-20 9,3395 9,3345 14,83 14,83 138,504785 138,430635 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-21 9,3405 9,3355 14,81 14,81 138,332805 138,258755 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-22 9,3405 9,3355 14,77 14,77 137,959185 137,885335 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-23 9,3695 9,3645 14,79 14,79 138,574905 138,500955 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-26 9,3815 9,3765 14,79 14,79 138,752385 138,678435 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-27 9,3885 9,3835 14,8 14,8 138,9498 138,8758 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-28 9,3935 9,3885 14,8 14,8 139,0238 138,9498 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-29 9,3845 9,3795 14,82 14,82 139,07829 139,00419 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-09-30 9,3435 9,3385 14,83 14,83 138,564105 138,489955 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-03 9,3025 9,2975 14,86 14,86 138,23515 138,16085 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-04 9,3185 9,3135 14,87 14,87 138,566095 138,491745 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-05 9,3105 9,3055 14,88 14,88 138,54024 138,46584 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-06 9,3015 9,2965 14,85 14,85 138,127275 138,053025 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-07 9,3385 9,3335 14,83 14,83 138,489955 138,415805 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-10 9,3465 9,3415 14,81 14,81 138,421665 138,347615 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-11 9,3395 9,3345 14,79 14,79 138,131205 138,057255 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-12 9,3375 9,3325 14,75 14,75 137,728125 137,654375 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-13 9,3815 9,3765 14,7 14,7 137,90805 137,83455 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-14 9,4135 9,4085 14,68 14,68 138,19018 138,11678 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-17 9,4575 9,4525 14,76 14,76 139,5927 139,5189 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-18 9,4625 9,4575 14,81 14,81 140,139625 140,065575 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-19 9,4605 9,4555 14,8 14,8 140,0154 139,9414 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-20 9,4935 9,4885 14,8 14,8 140,5038 140,4298 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-21 9,4915 9,4865 14,81 14,81 140,569115 140,495065 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-24 9,5455 9,5405 14,84 14,84 141,65522 141,58102 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-25 9,5465 9,5415 14,84 14,84 141,67006 141,59586 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-26 9,4975 9,4925 14,83 14,83 140,847925 140,773775 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-27 9,5355 9,5305 14,79 14,79 141,030045 140,956095 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-28 9,5135 9,5085 14,77 14,77 140,514395 140,440545 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-10-31 9,5495 9,5445 14,79 14,79 141,237105 141,163155 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-02 9,5855 9,5805 14,83 14,83 142,152965 142,078815 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-03 9,6515 9,6465 14,87 14,87 143,517805 143,443455 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-04 9,5875 9,5825 14,87 14,87 142,566125 142,491775 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-07 9,6075 9,6025 14,88 14,88 142,9596 142,8852 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-08 9,5685 9,5635 14,9 14,9 142,57065 142,49615 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-09 9,5575 9,5525 14,9 14,9 142,40675 142,33225 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-10 9,6105 9,6055 14,88 14,88 143,00424 142,92984 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-11 9,6365 9,6315 14,89 14,89 143,487485 143,413035 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-14 9,5505 9,5455 14,89 14,89 142,206945 142,132495 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-15 9,5805 9,5755 14,88 14,88 142,55784 142,48344 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-16 9,6235 9,6185 14,86 14,86 143,00521 142,93091 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-17 9,6355 9,6305 14,83 14,83 142,894465 142,820315 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-18 9,6085 9,6035 14,84 14,84 142,59014 142,51594 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-21 9,5915 9,5865 14,86 14,86 142,52969 142,45539 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-22 9,5585 9,5535 14,85 14,85 141,943725 141,869475 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-23 9,5155 9,5105 14,85 14,85 141,305175 141,230925 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-24 9,5125 9,5075 14,87 14,87 141,450875 141,376525 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-25 9,4965 9,4915 14,86 14,86 141,11799 141,04369 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-28 9,4835 9,4785 14,89 14,89 141,209315 141,134865 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-29 9,4785 9,4735 14,91 14,91 141,324435 141,249885 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-11-30 9,5295 9,5245 14,92 14,92 142,18014 142,10554 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-01 9,5165 9,5115 14,93 14,93 142,081345 142,006695 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-02 9,4905 9,4855 14,93 14,93 141,693165 141,618515 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-05 9,4065 9,4015 14,94 14,94 140,53311 140,45841 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-06 9,4185 9,4135 14,92 14,92 140,52402 140,44942 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-07 9,4255 9,4205 14,93 14,93 140,722715 140,648065 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-08 9,3965 9,3915 14,94 14,94 140,38371 140,30901 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-12 9,4315 9,4265 14,98 14,98 141,28387 141,20897 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-13 9,4295 9,4245 14,97 14,97 141,159615 141,084765 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-14 9,4365 9,4315 14,97 14,97 141,264405 141,189555 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-15 9,4345 9,4295 14,97 14,97 141,234465 141,159615 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-16 9,4765 9,4715 14,99 14,99 142,052735 141,977785 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-19 9,4535 9,4485 15 15 141,8025 141,7275 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-20 9,4015 9,3965 15 15 141,0225 140,9475 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-21 9,4485 9,4435 15 15 141,7275 141,6525 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-22 9,4365 9,4315 14,99 14,99 141,453135 141,378185 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-23 9,4425 9,4375 15 15 141,6375 141,5625 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-27 9,4915 9,4865 15,02 15,02 142,56233 142,48723 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-28 9,4345 9,4295 15,03 15,03 141,800535 141,725385 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-29 9,4115 9,4065 15,03 15,03 141,454845 141,379695 177030 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Euro High Yield Bond Fund EUR 2005-12-30 9,4325 9,4275 15,04 15,04 141,8648 141,7896 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-03 9,0065 9,0015 26,39 26,39 237,681535 237,549585 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-04 9,0345 9,0295 26,65 26,65 240,769425 240,636175 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-05 9,0615 9,0565 26,45 26,45 239,676675 239,544425 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-07 9,0615 9,0565 26,64 26,64 241,39836 241,26516 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-10 9,08619 9,08119 26,6 26,6 241,692654 241,559654 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-11 9,08619 9,08119 26,74 26,74 242,9647206 242,8310206 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-12 9,0455 9,0405 26,53 26,53 239,977115 239,844465 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-13 9,0505 9,0455 26,67 26,67 241,376835 241,243485 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-14 9,0455 9,0405 26,84 26,84 242,78122 242,64702 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-17 9,0685 9,0635 27,13 27,13 246,028405 245,892755 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-18 9,0585 9,0535 26,84 26,84 243,13014 242,99594 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-19 9,0225 9,0175 26,99 26,99 243,517275 243,382325 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-20 9,0315 9,0265 26,76 26,76 241,68294 241,54914 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-21 9,0505 9,0455 26,83 26,83 242,824915 242,690765 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-24 9,0655 9,0605 27,03 27,03 245,040465 244,905315 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-25 9,0715 9,0665 27,41 27,41 248,649815 248,512765 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-26 9,0885 9,0835 27,37 27,37 248,752245 248,615395 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-27 9,0675 9,0625 27,55 27,55 249,809625 249,671875 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-28 9,0955 9,0905 27,65 27,65 251,490575 251,352325 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-01-31 9,1075 9,1025 27,6 27,6 251,367 251,229 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-01 9,1035 9,0985 27,78 27,78 252,89523 252,75633 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-02 9,0905 9,0855 27,95 27,95 254,079475 253,939725 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-03 9,0695 9,0645 28,15 28,15 255,306425 255,165675 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-04 9,0895 9,0845 28,38 28,38 257,96001 257,81811 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-07 9,0755 9,0705 28,7 28,7 260,46685 260,32335 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-08 9,0895 9,0845 28,55 28,55 259,505225 259,362475 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-09 9,0695 9,0645 28,34 28,34 257,02963 256,88793 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-10 9,0805 9,0755 28,45 28,45 258,340225 258,197975 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-11 9,0935 9,0885 28,85 28,85 262,347475 262,203225 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-14 9,1105 9,1055 29,29 29,29 266,846545 266,700095 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-15 9,0765 9,0715 29,4 29,4 266,8491 266,7021 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-16 9,0705 9,0655 29,41 29,41 266,763405 266,616355 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-17 9,0925 9,0875 29,71 29,71 270,138175 269,989625 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-18 9,0945 9,0895 29,86 29,86 271,56177 271,41247 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-21 9,1185 9,1135 30,09 30,09 274,375665 274,225215 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-22 9,0975 9,0925 30,16 30,16 274,3806 274,2298 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-23 9,1045 9,0995 30,36 30,36 276,41262 276,26082 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-24 9,0715 9,0665 30,57 30,57 277,315755 277,162905 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-25 9,0845 9,0795 31,13 31,13 282,800485 282,644835 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-02-28 9,0505 9,0455 30,97 30,97 280,293985 280,139135 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-01 9,0565 9,0515 31,21 31,21 282,653365 282,497315 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-02 9,0645 9,0595 30,62 30,62 277,55499 277,40189 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-03 9,0675 9,0625 30,55 30,55 277,012125 276,859375 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-04 9,0415 9,0365 30,77 30,77 278,206955 278,053105 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-07 9,0425 9,0375 31,22 31,22 282,30685 282,15075 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-08 9,0345 9,0295 31,04 31,04 280,43088 280,27568 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-09 9,0365 9,0315 31,08 31,08 280,85442 280,69902 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-10 9,0655 9,0605 30,78 30,78 279,03609 278,88219 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-11 9,0795 9,0745 30,54 30,54 277,28793 277,13523 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-14 9,0695 9,0645 29,95 29,95 271,631525 271,481775 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-15 9,1035 9,0985 29,71 29,71 270,464985 270,316435 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-16 9,0975 9,0925 28,38 28,38 258,18705 258,04515 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-17 9,1045 9,0995 27,67 27,67 251,921515 251,783165 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-18 9,1035 9,0985 28,14 28,14 256,17249 256,03179 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-21 9,1265 9,1215 27,42 27,42 250,24863 250,11153 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-22 9,1265 9,1215 28,03 28,03 255,815795 255,675645 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-23 9,1165 9,1115 27,71 27,71 252,618215 252,479665 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-24 9,1135 9,1085 28,09 28,09 255,998215 255,857765 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-29 9,1315 9,1265 27,53 27,53 251,390195 251,252545 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-30 9,1425 9,1375 27,61 27,61 252,424425 252,286375 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-03-31 9,1405 9,1355 28,47 28,47 260,230035 260,087685 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-01 9,1645 9,1595 28,82 28,82 264,12089 263,97679 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-04 9,1695 9,1645 28,61 28,61 262,339395 262,196345 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-05 9,1745 9,1695 28,86 28,86 264,77607 264,63177 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-06 9,1705 9,1655 29,04 29,04 266,31132 266,16612 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-07 9,1505 9,1455 28,99 28,99 265,272995 265,128045 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-08 9,1625 9,1575 28,87 28,87 264,521375 264,377025 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-11 9,1705 9,1655 28,77 28,77 263,835285 263,691435 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-12 9,1525 9,1475 28,7 28,7 262,67675 262,53325 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-13 9,1495 9,1445 29,01 29,01 265,426995 265,281945 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-14 9,1685 9,1635 28,65 28,65 262,677525 262,534275 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-15 9,1925 9,1875 28,06 28,06 257,94155 257,80125 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-18 9,1805 9,1755 27,32 27,32 250,81126 250,67466 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-19 9,2035 9,1985 27,4 27,4 252,1759 252,0389 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-20 9,1915 9,1865 27,23 27,23 250,284545 250,148395 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-21 9,1855 9,1805 27,32 27,32 250,94786 250,81126 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-22 9,1625 9,1575 27,53 27,53 252,243625 252,105975 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-25 9,1685 9,1635 27,64 27,64 253,41734 253,27914 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-26 9,1375 9,1325 27,59 27,59 252,103625 251,965675 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-27 9,1465 9,1415 27,1 27,1 247,87015 247,73465 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-28 9,1505 9,1455 26,39 26,39 241,481695 241,349745 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-04-29 9,1705 9,1655 26,7 26,7 244,85235 244,71885 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-02 9,1935 9,1885 26,96 26,96 247,85676 247,72196 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-03 9,2245 9,2195 26,91 26,91 248,231295 248,096745 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-04 9,1915 9,1865 27,14 27,14 249,45731 249,32161 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-06 9,1715 9,1665 27,54 27,54 252,58311 252,44541 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-09 9,1815 9,1765 27,45 27,45 252,032175 251,894925 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-10 9,1985 9,1935 27,02 27,02 248,54347 248,40837 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-11 9,2105 9,2055 26,92 26,92 247,94666 247,81206 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-12 9,2315 9,2265 27,03 27,03 249,527445 249,392295 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-13 9,2045 9,1995 26,81 26,81 246,772645 246,638595 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-17 9,2325 9,2275 26,75 26,75 246,969375 246,835625 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-18 9,2095 9,2045 27,34 27,34 251,78773 251,65103 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-19 9,1905 9,1855 27,59 27,59 253,565895 253,427945 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-20 9,1955 9,1905 27,79 27,79 255,542945 255,403995 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-23 9,1805 9,1755 27,45 27,45 252,004725 251,867475 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-24 9,1815 9,1765 27,46 27,46 252,12399 251,98669 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-25 9,1785 9,1735 27,29 27,29 250,481265 250,344815 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-26 9,1945 9,1895 27,39 27,39 251,837355 251,700405 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-27 9,1955 9,1905 27,65 27,65 254,255575 254,117325 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-30 9,1905 9,1855 27,61 27,61 253,749705 253,611655 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-05-31 9,1665 9,1615 27,89 27,89 255,653685 255,514235 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-01 9,1455 9,1405 28,01 28,01 256,165455 256,025405 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-02 9,1565 9,1515 28,27 28,27 258,854255 258,712905 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-03 9,1315 9,1265 28,48 28,48 260,06512 259,92272 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-07 9,1455 9,1405 28,83 28,83 263,664765 263,520615 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-08 9,1455 9,1405 28,86 28,86 263,93913 263,79483 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-09 9,1965 9,1915 29,02 29,02 266,88243 266,73733 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-10 9,1975 9,1925 29,33 29,33 269,762675 269,616025 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-13 9,2365 9,2315 29,49 29,49 272,384385 272,236935 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-14 9,2985 9,2935 29,43 29,43 273,654855 273,507705 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-15 9,2695 9,2645 29,53 29,53 273,728335 273,580685 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-16 9,2695 9,2645 29,87 29,87 276,879965 276,730615 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-17 9,2695 9,2645 29,69 29,69 275,211455 275,063005 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-20 9,2255 9,2205 29,84 29,84 275,28892 275,13972 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-21 9,2725 9,2675 29,9 29,9 277,24775 277,09825 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-22 9,2615 9,2565 30,17 30,17 279,419455 279,268605 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-27 9,3855 9,3805 29,57 29,57 277,529235 277,381385 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-28 9,3995 9,3945 29,88 29,88 280,85706 280,70766 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-29 9,4215 9,4165 30,02 30,02 282,83343 282,68333 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-06-30 9,4415 9,4365 30,14 30,14 284,56681 284,41611 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-01 9,4595 9,4545 30,62 30,62 289,64989 289,49679 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-04 9,4795 9,4745 30,93 30,93 293,200935 293,046285 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-05 9,4575 9,4525 30,65 30,65 289,872375 289,719125 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-06 9,4195 9,4145 30,87 30,87 290,779965 290,625615 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-07 9,3965 9,3915 30,6 30,6 287,5329 287,3799 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-08 9,4175 9,4125 30,95 30,95 291,471625 291,316875 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-11 9,4665 9,4615 30,7 30,7 290,62155 290,46805 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-12 9,4645 9,4595 30,93 30,93 292,736985 292,582335 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-13 9,3915 9,3865 31,26 31,26 293,57829 293,42199 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-14 9,3675 9,3625 31,31 31,31 293,296425 293,139875 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-15 9,4055 9,4005 31,25 31,25 293,921875 293,765625 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-18 9,3895 9,3845 31,12 31,12 292,20124 292,04564 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-19 9,4425 9,4375 31,48 31,48 297,2499 297,0925 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-20 9,4265 9,4215 31,64 31,64 298,25446 298,09626 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-21 9,4625 9,4575 31,52 31,52 298,258 298,1004 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-22 9,4495 9,4445 31,54 31,54 298,03723 297,87953 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-25 9,4275 9,4225 31,8 31,8 299,7945 299,6355 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-26 9,4155 9,4105 31,69 31,69 298,377195 298,218745 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-27 9,4725 9,4675 32,09 32,09 303,972525 303,812075 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-28 9,4515 9,4465 32,33 32,33 305,566995 305,405345 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-07-29 9,3885 9,3835 32,48 32,48 304,93848 304,77608 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-01 9,3985 9,3935 32,79 32,79 308,176815 308,012865 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-02 9,3995 9,3945 33,08 33,08 310,93546 310,77006 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-03 9,3755 9,3705 33,11 33,11 310,422805 310,257255 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-04 9,3735 9,3685 33,23 33,23 311,481405 311,315255 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-05 9,3355 9,3305 33,33 33,33 311,152215 310,985565 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-08 9,3335 9,3285 33,64 33,64 313,97894 313,81074 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-09 9,3455 9,3405 33,74 33,74 315,31717 315,14847 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-10 9,3535 9,3485 33,64 33,64 314,65174 314,48354 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-11 9,3365 9,3315 33,38 33,38 311,65237 311,48547 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-12 9,3025 9,2975 32,83 32,83 305,401075 305,236925 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-16 9,2995 9,2945 33,44 33,44 310,97528 310,80808 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-17 9,3405 9,3355 33,23 33,23 310,384815 310,218665 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-18 9,3365 9,3315 33,13 33,13 309,318245 309,152595 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-19 9,3395 9,3345 33,06 33,06 308,76387 308,59857 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-22 9,3655 9,3605 33,31 33,31 311,964805 311,798255 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-23 9,3715 9,3665 33,43 33,43 313,289245 313,122095 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-24 9,3365 9,3315 33,48 33,48 312,58602 312,41862 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-25 9,3335 9,3285 33,48 33,48 312,48558 312,31818 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-26 9,3415 9,3365 33,64 33,64 314,24806 314,07986 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-29 9,3295 9,3245 33,75 33,75 314,870625 314,701875 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-30 9,3285 9,3235 34,19 34,19 318,941415 318,770465 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-08-31 9,3585 9,3535 34,55 34,55 323,336175 323,163425 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-01 9,3365 9,3315 35,3 35,3 329,57845 329,40195 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-02 9,3025 9,2975 35,66 35,66 331,72715 331,54885 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-05 9,2845 9,2795 35,43 35,43 328,949835 328,772685 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-06 9,3225 9,3175 35,46 35,46 330,57585 330,39855 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-07 9,3075 9,3025 35,24 35,24 327,9963 327,8201 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-08 9,3255 9,3205 35,43 35,43 330,402465 330,225315 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-09 9,3445 9,3395 36,02 36,02 336,58889 336,40879 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-12 9,3015 9,2965 36,55 36,55 339,969825 339,787075 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-13 9,3015 9,2965 36,42 36,42 338,76063 338,57853 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-14 9,3365 9,3315 36,53 36,53 341,062345 340,879695 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-15 9,3425 9,3375 37,37 37,37 349,129225 348,942375 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-16 9,3465 9,3415 37,89 37,89 354,138885 353,949435 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-19 9,3355 9,3305 38,4 38,4 358,4832 358,2912 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-20 9,3395 9,3345 38,22 38,22 356,95569 356,76459 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-21 9,3405 9,3355 38,14 38,14 356,24667 356,05597 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-22 9,3405 9,3355 38,03 38,03 355,219215 355,029065 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-23 9,3695 9,3645 38,27 38,27 358,570765 358,379415 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-26 9,3815 9,3765 38,27 38,27 359,030005 358,838655 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-27 9,3885 9,3835 38,78 38,78 364,08603 363,89213 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-28 9,3935 9,3885 38,28 38,28 359,58318 359,39178 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-29 9,3845 9,3795 38,44 38,44 360,74018 360,54798 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-09-30 9,3435 9,3385 38,38 38,38 358,60353 358,41163 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-03 9,3025 9,2975 39,04 39,04 363,1696 362,9744 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-04 9,3185 9,3135 39,42 39,42 367,33527 367,13817 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-05 9,3105 9,3055 38,78 38,78 361,06119 360,86729 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-06 9,3015 9,2965 37,24 37,24 346,38786 346,20166 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-07 9,3385 9,3335 37,01 37,01 345,617885 345,432835 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-10 9,3465 9,3415 37,36 37,36 349,18524 348,99844 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-11 9,3395 9,3345 37,92 37,92 354,15384 353,96424 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-12 9,3375 9,3325 37,29 37,29 348,195375 348,008925 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-13 9,3815 9,3765 35,94 35,94 337,17111 336,99141 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-14 9,4135 9,4085 35,01 35,01 329,566635 329,391585 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-17 9,4575 9,4525 35,61 35,61 336,781575 336,603525 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-18 9,4625 9,4575 35,77 35,77 338,473625 338,294775 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-19 9,4605 9,4555 34,54 34,54 326,76567 326,59297 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-20 9,4935 9,4885 34,95 34,95 331,797825 331,623075 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-21 9,4915 9,4865 34,84 34,84 330,68386 330,50966 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-24 9,5455 9,5405 35,17 35,17 335,715235 335,539385 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-25 9,5465 9,5415 35,41 35,41 338,041565 337,864515 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-26 9,4975 9,4925 35,27 35,27 334,976825 334,800475 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-27 9,5355 9,5305 34,83 34,83 332,121465 331,947315 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-28 9,5135 9,5085 34,74 34,74 330,49899 330,32529 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-10-31 9,5495 9,5445 35,45 35,45 338,529775 338,352525 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-02 9,5855 9,5805 36,29 36,29 347,857795 347,676345 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-03 9,6515 9,6465 36,72 36,72 354,40308 354,21948 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-04 9,5875 9,5825 37,04 37,04 355,121 354,9358 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-07 9,6075 9,6025 37 37 355,4775 355,2925 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-08 9,5685 9,5635 36,62 36,62 350,39847 350,21537 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-09 9,5575 9,5525 36,62 36,62 349,99565 349,81255 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-10 9,6105 9,6055 36,48 36,48 350,59104 350,40864 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-11 9,6365 9,6315 36,2 36,2 348,8413 348,6603 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-14 9,5505 9,5455 36,31 36,31 346,778655 346,597105 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-15 9,5805 9,5755 36,2 36,2 346,8141 346,6331 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-16 9,6235 9,6185 36,45 36,45 350,776575 350,594325 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-17 9,6355 9,6305 36,8 36,8 354,5864 354,4024 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-18 9,6085 9,6035 36,92 36,92 354,74582 354,56122 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-21 9,5915 9,5865 36,96 36,96 354,50184 354,31704 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-22 9,5585 9,5535 36,6 36,6 349,8411 349,6581 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-23 9,5155 9,5105 37,02 37,02 352,26381 352,07871 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-24 9,5125 9,5075 37,49 37,49 356,623625 356,436175 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-25 9,4965 9,4915 37,66 37,66 357,63819 357,44989 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-28 9,4835 9,4785 37,91 37,91 359,519485 359,329935 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-29 9,4785 9,4735 38,05 38,05 360,656925 360,466675 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-11-30 9,5295 9,5245 38,15 38,15 363,550425 363,359675 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-01 9,5165 9,5115 38,31 38,31 364,577115 364,385565 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-02 9,4905 9,4855 38,79 38,79 368,136495 367,942545 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-05 9,4065 9,4015 38,75 38,75 364,501875 364,308125 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-06 9,4185 9,4135 38,34 38,34 361,10529 360,91359 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-07 9,4255 9,4205 38,54 38,54 363,25877 363,06607 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-08 9,3965 9,3915 38,29 38,29 359,791985 359,600535 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-12 9,4315 9,4265 38,27 38,27 360,943505 360,752155 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-13 9,4295 9,4245 38,28 38,28 360,96126 360,76986 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-14 9,4365 9,4315 38,23 38,23 360,757395 360,566245 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-15 9,4345 9,4295 38,33 38,33 361,624385 361,432735 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-16 9,4765 9,4715 38,23 38,23 362,286595 362,095445 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-19 9,4535 9,4485 38,38 38,38 362,82533 362,63343 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-20 9,4015 9,3965 38,8 38,8 364,7782 364,5842 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-21 9,4485 9,4435 38,94 38,94 367,92459 367,72989 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-22 9,4365 9,4315 38,54 38,54 363,68271 363,49001 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-23 9,4425 9,4375 38,77 38,77 366,085725 365,891875 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-27 9,4915 9,4865 38,86 38,86 368,83969 368,64539 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-28 9,4345 9,4295 38,83 38,83 366,341635 366,147485 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-29 9,4115 9,4065 39,08 39,08 367,80142 367,60602 105379 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convergence Fund EUR 2005-12-30 9,4325 9,4275 38,88 38,88 366,7356 366,5412 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-03 9,0065 9,0015 13,55 13,55 122,038075 121,970325 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-04 9,0345 9,0295 13,54 13,54 122,32713 122,25943 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-05 9,0615 9,0565 13,51 13,51 122,420865 122,353315 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-07 9,0615 9,0565 13,58 13,58 123,05517 122,98727 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-10 9,08619 9,08119 13,58 13,58 123,3904602 123,3225602 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-11 9,08619 9,08119 13,54 13,54 123,0270126 122,9593126 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-12 9,0455 9,0405 13,51 13,51 122,204705 122,137155 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-13 9,0505 9,0455 13,53 13,53 122,453265 122,385615 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-14 9,0455 9,0405 13,57 13,57 122,747435 122,679585 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-17 9,0685 9,0635 13,59 13,59 123,240915 123,172965 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-18 9,0585 9,0535 13,59 13,59 123,105015 123,037065 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-19 9,0225 9,0175 13,6 13,6 122,706 122,638 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-20 9,0315 9,0265 13,58 13,58 122,64777 122,57987 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-21 9,0505 9,0455 13,58 13,58 122,90579 122,83789 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-24 9,0655 9,0605 13,57 13,57 123,018835 122,950985 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-25 9,0715 9,0665 13,6 13,6 123,3724 123,3044 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-26 9,0885 9,0835 13,59 13,59 123,512715 123,444765 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-27 9,0675 9,0625 13,59 13,59 123,227325 123,159375 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-28 9,0955 9,0905 13,58 13,58 123,51689 123,44899 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-01-31 9,1075 9,1025 13,61 13,61 123,953075 123,885025 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-01 9,1035 9,0985 13,64 13,64 124,17174 124,10354 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-02 9,0905 9,0855 13,65 13,65 124,085325 124,017075 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-03 9,0695 9,0645 13,62 13,62 123,52659 123,45849 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-04 9,0895 9,0845 13,68 13,68 124,34436 124,27596 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-07 9,0755 9,0705 13,73 13,73 124,606615 124,537965 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-08 9,0895 9,0845 13,73 13,73 124,798835 124,730185 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-09 9,0695 9,0645 13,7 13,7 124,25215 124,18365 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-10 9,0805 9,0755 13,69 13,69 124,312045 124,243595 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-11 9,0935 9,0885 13,73 13,73 124,853755 124,785105 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-14 9,1105 9,1055 13,72 13,72 124,99606 124,92746 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-15 9,0765 9,0715 13,73 13,73 124,620345 124,551695 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-16 9,0705 9,0655 13,71 13,71 124,356555 124,288005 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-17 9,0925 9,0875 13,68 13,68 124,3854 124,317 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-18 9,0945 9,0895 13,68 13,68 124,41276 124,34436 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-21 9,1185 9,1135 13,67 13,67 124,649895 124,581545 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-22 9,0975 9,0925 13,57 13,57 123,453075 123,385225 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-23 9,1045 9,0995 13,54 13,54 123,27493 123,20723 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-24 9,0715 9,0665 13,55 13,55 122,918825 122,851075 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-25 9,0845 9,0795 13,63 13,63 123,821735 123,753585 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-02-28 9,0505 9,0455 13,6 13,6 123,0868 123,0188 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-01 9,0565 9,0515 13,64 13,64 123,53066 123,46246 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-02 9,0645 9,0595 13,66 13,66 123,82107 123,75277 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-03 9,0675 9,0625 13,66 13,66 123,86205 123,79375 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-04 9,0415 9,0365 13,66 13,66 123,50689 123,43859 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-07 9,0425 9,0375 13,69 13,69 123,791825 123,723375 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-08 9,0345 9,0295 13,65 13,65 123,320925 123,252675 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-09 9,0365 9,0315 13,61 13,61 122,986765 122,918715 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-10 9,0655 9,0605 13,56 13,56 122,92818 122,86038 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-11 9,0795 9,0745 13,57 13,57 123,208815 123,140965 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-14 9,0695 9,0645 13,56 13,56 122,98242 122,91462 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-15 9,1035 9,0985 13,62 13,62 123,98967 123,92157 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-16 9,0975 9,0925 13,56 13,56 123,3621 123,2943 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-17 9,1045 9,0995 13,57 13,57 123,548065 123,480215 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-18 9,1035 9,0985 13,59 13,59 123,716565 123,648615 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-21 9,1265 9,1215 13,55 13,55 123,664075 123,596325 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-22 9,1265 9,1215 13,57 13,57 123,846605 123,778755 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-23 9,1165 9,1115 13,57 13,57 123,710905 123,643055 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-24 9,1135 9,1085 13,6 13,6 123,9436 123,8756 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-29 9,1315 9,1265 13,58 13,58 124,00577 123,93787 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-30 9,1425 9,1375 13,58 13,58 124,15515 124,08725 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-03-31 9,1405 9,1355 13,59 13,59 124,219395 124,151445 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-01 9,1645 9,1595 13,6 13,6 124,6372 124,5692 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-04 9,1695 9,1645 13,6 13,6 124,7052 124,6372 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-05 9,1745 9,1695 13,63 13,63 125,048435 124,980285 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-06 9,1705 9,1655 13,63 13,63 124,993915 124,925765 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-07 9,1505 9,1455 13,64 13,64 124,81282 124,74462 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-08 9,1625 9,1575 13,66 13,66 125,15975 125,09145 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-11 9,1705 9,1655 13,66 13,66 125,26903 125,20073 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-12 9,1525 9,1475 13,64 13,64 124,8401 124,7719 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-13 9,1495 9,1445 13,65 13,65 124,890675 124,822425 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-14 9,1685 9,1635 13,63 13,63 124,966655 124,898505 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-15 9,1925 9,1875 13,58 13,58 124,83415 124,76625 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-18 9,1805 9,1755 13,52 13,52 124,12036 124,05276 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-19 9,2035 9,1985 13,53 13,53 124,523355 124,455705 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-20 9,1915 9,1865 13,52 13,52 124,26908 124,20148 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-21 9,1855 9,1805 13,5 13,5 124,00425 123,93675 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-22 9,1625 9,1575 13,53 13,53 123,968625 123,900975 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-25 9,1685 9,1635 13,55 13,55 124,233175 124,165425 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-26 9,1375 9,1325 13,53 13,53 123,630375 123,562725 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-27 9,1465 9,1415 13,48 13,48 123,29482 123,22742 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-28 9,1505 9,1455 13,46 13,46 123,16573 123,09843 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-04-29 9,1705 9,1655 13,45 13,45 123,343225 123,275975 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-02 9,1935 9,1885 13,49 13,49 124,020315 123,952865 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-03 9,2245 9,2195 13,53 13,53 124,807485 124,739835 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-04 9,1915 9,1865 13,55 13,55 124,544825 124,477075 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-06 9,1715 9,1665 13,59 13,59 124,640685 124,572735 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-09 9,1815 9,1765 13,57 13,57 124,592955 124,525105 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-10 9,1985 9,1935 13,54 13,54 124,54769 124,47999 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-11 9,2105 9,2055 13,51 13,51 124,433855 124,366305 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-12 9,2315 9,2265 13,5 13,5 124,62525 124,55775 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-13 9,2045 9,1995 13,5 13,5 124,26075 124,19325 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-17 9,2325 9,2275 13,48 13,48 124,4541 124,3867 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-18 9,2095 9,2045 13,53 13,53 124,604535 124,536885 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-19 9,1905 9,1855 13,57 13,57 124,715085 124,647235 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-20 9,1955 9,1905 13,58 13,58 124,87489 124,80699 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-23 9,1805 9,1755 13,59 13,59 124,762995 124,695045 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-24 9,1815 9,1765 13,6 13,6 124,8684 124,8004 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-25 9,1785 9,1735 13,6 13,6 124,8276 124,7596 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-26 9,1945 9,1895 13,63 13,63 125,321035 125,252885 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-27 9,1955 9,1905 13,63 13,63 125,334665 125,266515 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-30 9,1905 9,1855 13,66 13,66 125,54223 125,47393 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-05-31 9,1665 9,1615 13,67 13,67 125,306055 125,237705 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-01 9,1455 9,1405 13,74 13,74 125,65917 125,59047 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-02 9,1565 9,1515 13,74 13,74 125,81031 125,74161 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-03 9,1315 9,1265 13,71 13,71 125,192865 125,124315 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-07 9,1455 9,1405 13,76 13,76 125,84208 125,77328 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-08 9,1455 9,1405 13,78 13,78 126,02499 125,95609 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-09 9,1965 9,1915 13,76 13,76 126,54384 126,47504 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-10 9,1975 9,1925 13,8 13,8 126,9255 126,8565 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-13 9,2365 9,2315 13,84 13,84 127,83316 127,76396 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-14 9,2985 9,2935 13,82 13,82 128,50527 128,43617 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-15 9,2695 9,2645 13,8 13,8 127,9191 127,8501 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-16 9,2695 9,2645 13,82 13,82 128,10449 128,03539 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-17 9,2695 9,2645 13,84 13,84 128,28988 128,22068 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-20 9,2255 9,2205 13,82 13,82 127,49641 127,42731 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-21 9,2725 9,2675 13,84 13,84 128,3314 128,2622 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-22 9,2615 9,2565 13,85 13,85 128,271775 128,202525 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-27 9,3855 9,3805 13,79 13,79 129,426045 129,357095 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-28 9,3995 9,3945 13,8 13,8 129,7131 129,6441 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-29 9,4215 9,4165 13,84 13,84 130,39356 130,32436 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-06-30 9,4415 9,4365 13,85 13,85 130,764775 130,695525 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-01 9,4595 9,4545 13,87 13,87 131,203265 131,133915 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-04 9,4795 9,4745 13,9 13,9 131,76505 131,69555 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-05 9,4575 9,4525 13,88 13,88 131,2701 131,2007 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-06 9,4195 9,4145 13,9 13,9 130,93105 130,86155 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-07 9,3965 9,3915 13,85 13,85 130,141525 130,072275 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-08 9,4175 9,4125 13,91 13,91 130,997425 130,927875 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-11 9,4665 9,4615 13,94 13,94 131,96301 131,89331 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-12 9,4645 9,4595 13,93 13,93 131,840485 131,770835 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-13 9,3915 9,3865 13,95 13,95 131,011425 130,941675 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-14 9,3675 9,3625 13,98 13,98 130,95765 130,88775 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-15 9,4055 9,4005 13,97 13,97 131,394835 131,324985 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-18 9,3895 9,3845 13,93 13,93 130,795735 130,726085 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-19 9,4425 9,4375 13,97 13,97 131,911725 131,841875 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-20 9,4265 9,4215 13,99 13,99 131,876735 131,806785 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-21 9,4625 9,4575 13,99 13,99 132,380375 132,310425 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-22 9,4495 9,4445 14,06 14,06 132,85997 132,78967 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-25 9,4275 9,4225 14,08 14,08 132,7392 132,6688 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-26 9,4155 9,4105 14,1 14,1 132,75855 132,68805 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-27 9,4725 9,4675 14,12 14,12 133,7517 133,6811 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-28 9,4515 9,4465 14,16 14,16 133,83324 133,76244 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-07-29 9,3885 9,3835 14,16 14,16 132,94116 132,87036 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-01 9,3985 9,3935 14,16 14,16 133,08276 133,01196 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-02 9,3995 9,3945 14,18 14,18 133,28491 133,21401 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-03 9,3755 9,3705 14,18 14,18 132,94459 132,87369 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-04 9,3735 9,3685 14,15 14,15 132,635025 132,564275 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-05 9,3355 9,3305 14,11 14,11 131,723905 131,653355 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-08 9,3335 9,3285 14,15 14,15 132,069025 131,998275 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-09 9,3455 9,3405 14,23 14,23 132,986465 132,915315 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-10 9,3535 9,3485 14,25 14,25 133,287375 133,216125 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-11 9,3365 9,3315 14,25 14,25 133,045125 132,973875 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-12 9,3025 9,2975 14,24 14,24 132,4676 132,3964 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-16 9,2995 9,2945 14,23 14,23 132,331885 132,260735 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-17 9,3405 9,3355 14,21 14,21 132,728505 132,657455 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-18 9,3365 9,3315 14,19 14,19 132,484935 132,413985 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-19 9,3395 9,3345 14,25 14,25 133,087875 133,016625 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-22 9,3655 9,3605 14,25 14,25 133,458375 133,387125 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-23 9,3715 9,3665 14,24 14,24 133,45016 133,37896 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-24 9,3365 9,3315 14,22 14,22 132,76503 132,69393 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-25 9,3335 9,3285 14,17 14,17 132,255695 132,184845 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-26 9,3415 9,3365 14,12 14,12 131,90198 131,83138 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-29 9,3295 9,3245 14,16 14,16 132,10572 132,03492 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-30 9,3285 9,3235 14,18 14,18 132,27813 132,20723 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-08-31 9,3585 9,3535 14,22 14,22 133,07787 133,00677 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-01 9,3365 9,3315 14,25 14,25 133,045125 132,973875 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-02 9,3025 9,2975 14,23 14,23 132,374575 132,303425 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-05 9,2845 9,2795 14,33 14,33 133,046885 132,975235 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-06 9,3225 9,3175 14,36 14,36 133,8711 133,7993 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-07 9,3075 9,3025 14,4 14,4 134,028 133,956 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-08 9,3255 9,3205 14,39 14,39 134,193945 134,121995 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-09 9,3445 9,3395 14,42 14,42 134,74769 134,67559 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-12 9,3015 9,2965 14,4 14,4 133,9416 133,8696 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-13 9,3015 9,2965 14,35 14,35 133,476525 133,404775 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-14 9,3365 9,3315 14,35 14,35 133,978775 133,907025 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-15 9,3425 9,3375 14,37 14,37 134,251725 134,179875 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-16 9,3465 9,3415 14,41 14,41 134,683065 134,611015 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-19 9,3355 9,3305 14,47 14,47 135,084685 135,012335 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-20 9,3395 9,3345 14,5 14,5 135,42275 135,35025 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-21 9,3405 9,3355 14,44 14,44 134,87682 134,80462 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-22 9,3405 9,3355 14,41 14,41 134,596605 134,524555 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-23 9,3695 9,3645 14,41 14,41 135,014495 134,942445 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-26 9,3815 9,3765 14,48 14,48 135,84412 135,77172 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-27 9,3885 9,3835 14,47 14,47 135,851595 135,779245 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-28 9,3935 9,3885 14,51 14,51 136,299685 136,227135 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-29 9,3845 9,3795 14,49 14,49 135,981405 135,908955 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-09-30 9,3435 9,3385 14,51 14,51 135,574185 135,501635 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-03 9,3025 9,2975 14,55 14,55 135,351375 135,278625 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-04 9,3185 9,3135 14,56 14,56 135,67736 135,60456 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-05 9,3105 9,3055 14,48 14,48 134,81604 134,74364 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-06 9,3015 9,2965 14,42 14,42 134,12763 134,05553 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-07 9,3385 9,3335 14,43 14,43 134,754555 134,682405 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-10 9,3465 9,3415 14,43 14,43 134,869995 134,797845 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-11 9,3395 9,3345 14,46 14,46 135,04917 134,97687 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-12 9,3375 9,3325 14,42 14,42 134,64675 134,57465 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-13 9,3815 9,3765 14,36 14,36 134,71834 134,64654 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-14 9,4135 9,4085 14,37 14,37 135,271995 135,200145 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-17 9,4575 9,4525 14,39 14,39 136,093425 136,021475 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-18 9,4625 9,4575 14,37 14,37 135,976125 135,904275 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-19 9,4605 9,4555 14,26 14,26 134,90673 134,83543 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-20 9,4935 9,4885 14,28 14,28 135,56718 135,49578 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-21 9,4915 9,4865 14,25 14,25 135,253875 135,182625 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-24 9,5455 9,5405 14,31 14,31 136,596105 136,524555 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-25 9,5465 9,5415 14,32 14,32 136,70588 136,63428 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-26 9,4975 9,4925 14,34 14,34 136,19415 136,12245 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-27 9,5355 9,5305 14,26 14,26 135,97623 135,90493 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-28 9,5135 9,5085 14,25 14,25 135,567375 135,496125 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-10-31 9,5495 9,5445 14,32 14,32 136,74884 136,67724 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-02 9,5855 9,5805 14,36 14,36 137,64778 137,57598 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-03 9,6515 9,6465 14,43 14,43 139,271145 139,198995 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-04 9,5875 9,5825 14,42 14,42 138,25175 138,17965 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-07 9,6075 9,6025 14,45 14,45 138,828375 138,756125 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-08 9,5685 9,5635 14,43 14,43 138,073455 138,001305 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-09 9,5575 9,5525 14,4 14,4 137,628 137,556 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-10 9,6105 9,6055 14,4 14,4 138,3912 138,3192 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-11 9,6365 9,6315 14,43 14,43 139,054695 138,982545 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-14 9,5505 9,5455 14,42 14,42 137,71821 137,64611 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-15 9,5805 9,5755 14,42 14,42 138,15081 138,07871 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-16 9,6235 9,6185 14,4 14,4 138,5784 138,5064 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-17 9,6355 9,6305 14,42 14,42 138,94391 138,87181 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-18 9,6085 9,6035 14,42 14,42 138,55457 138,48247 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-21 9,5915 9,5865 14,49 14,49 138,980835 138,908385 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-22 9,5585 9,5535 14,49 14,49 138,502665 138,430215 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-23 9,5155 9,5105 14,52 14,52 138,16506 138,09246 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-24 9,5125 9,5075 14,52 14,52 138,1215 138,0489 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-25 9,4965 9,4915 14,53 14,53 137,984145 137,911495 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-28 9,4835 9,4785 14,52 14,52 137,70042 137,62782 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-29 9,4785 9,4735 14,54 14,54 137,81739 137,74469 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-11-30 9,5295 9,5245 14,52 14,52 138,36834 138,29574 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-01 9,5165 9,5115 14,59 14,59 138,845735 138,772785 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-02 9,4905 9,4855 14,66 14,66 139,13073 139,05743 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-05 9,4065 9,4015 14,67 14,67 137,993355 137,920005 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-06 9,4185 9,4135 14,68 14,68 138,26358 138,19018 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-07 9,4255 9,4205 14,69 14,69 138,460595 138,387145 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-08 9,3965 9,3915 14,7 14,7 138,12855 138,05505 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-12 9,4315 9,4265 14,72 14,72 138,83168 138,75808 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-13 9,4295 9,4245 14,74 14,74 138,99083 138,91713 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-14 9,4365 9,4315 14,73 14,73 138,999645 138,925995 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-15 9,4345 9,4295 14,73 14,73 138,970185 138,896535 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-16 9,4765 9,4715 14,75 14,75 139,778375 139,704625 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-19 9,4535 9,4485 14,72 14,72 139,15552 139,08192 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-20 9,4015 9,3965 14,75 14,75 138,672125 138,598375 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-21 9,4485 9,4435 14,79 14,79 139,743315 139,669365 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-22 9,4365 9,4315 14,76 14,76 139,28274 139,20894 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-23 9,4425 9,4375 14,76 14,76 139,3713 139,2975 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-27 9,4915 9,4865 14,8 14,8 140,4742 140,4002 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-28 9,4345 9,4295 14,78 14,78 139,44191 139,36801 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-29 9,4115 9,4065 14,83 14,83 139,572545 139,498395 639872 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Convertible Fund EUR 2005-12-30 9,4325 9,4275 14,79 14,79 139,506675 139,432725 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-03 9,0065 9,0015 8,42 8,42 75,83473 75,79263 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-04 9,0345 9,0295 8,45 8,45 76,341525 76,299275 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-05 9,0615 9,0565 8,4 8,4 76,1166 76,0746 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-07 9,0615 9,0565 8,51 8,51 77,113365 77,070815 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-10 9,08619 9,08119 8,51 8,51 77,3234769 77,2809269 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-11 9,08619 9,08119 8,43 8,43 76,5965817 76,5544317 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-12 9,0455 9,0405 8,35 8,35 75,529925 75,488175 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-13 9,0505 9,0455 8,39 8,39 75,933695 75,891745 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-14 9,0455 9,0405 8,44 8,44 76,34402 76,30182 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-17 9,0685 9,0635 8,48 8,48 76,90088 76,85848 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-18 9,0585 9,0535 8,48 8,48 76,81608 76,77368 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-19 9,0225 9,0175 8,5 8,5 76,69125 76,64875 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-20 9,0315 9,0265 8,46 8,46 76,40649 76,36419 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-21 9,0505 9,0455 8,45 8,45 76,476725 76,434475 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-24 9,0655 9,0605 8,45 8,45 76,603475 76,561225 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-25 9,0715 9,0665 8,5 8,5 77,10775 77,06525 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-26 9,0885 9,0835 8,5 8,5 77,25225 77,20975 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-27 9,0675 9,0625 8,55 8,55 77,527125 77,484375 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-28 9,0955 9,0905 8,51 8,51 77,402705 77,360155 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-01-31 9,1075 9,1025 8,57 8,57 78,051275 78,008425 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-01 9,1035 9,0985 8,64 8,64 78,65424 78,61104 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-02 9,0905 9,0855 8,65 8,65 78,632825 78,589575 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-03 9,0695 9,0645 8,65 8,65 78,451175 78,407925 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-04 9,0895 9,0845 8,73 8,73 79,351335 79,307685 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-07 9,0755 9,0705 8,78 8,78 79,68289 79,63899 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-08 9,0895 9,0845 8,79 8,79 79,896705 79,852755 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-09 9,0695 9,0645 8,79 8,79 79,720905 79,676955 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-10 9,0805 9,0755 8,78 8,78 79,72679 79,68289 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-11 9,0935 9,0885 8,87 8,87 80,659345 80,614995 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-14 9,1105 9,1055 8,88 8,88 80,90124 80,85684 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-15 9,0765 9,0715 8,92 8,92 80,96238 80,91778 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-16 9,0705 9,0655 8,87 8,87 80,455335 80,410985 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-17 9,0925 9,0875 8,87 8,87 80,650475 80,606125 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-18 9,0945 9,0895 8,87 8,87 80,668215 80,623865 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-21 9,1185 9,1135 8,85 8,85 80,698725 80,654475 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-22 9,0975 9,0925 8,79 8,79 79,967025 79,923075 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-23 9,1045 9,0995 8,75 8,75 79,664375 79,620625 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-24 9,0715 9,0665 8,73 8,73 79,194195 79,150545 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-25 9,0845 9,0795 8,84 8,84 80,30698 80,26278 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-02-28 9,0505 9,0455 8,81 8,81 79,734905 79,690855 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-01 9,0565 9,0515 8,88 8,88 80,42172 80,37732 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-02 9,0645 9,0595 8,89 8,89 80,583405 80,538955 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-03 9,0675 9,0625 8,88 8,88 80,5194 80,475 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-04 9,0415 9,0365 8,96 8,96 81,01184 80,96704 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-07 9,0425 9,0375 8,94 8,94 80,83995 80,79525 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-08 9,0345 9,0295 8,89 8,89 80,316705 80,272255 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-09 9,0365 9,0315 8,84 8,84 79,88266 79,83846 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-10 9,0655 9,0605 8,76 8,76 79,41378 79,36998 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-11 9,0795 9,0745 8,78 8,78 79,71801 79,67411 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-14 9,0695 9,0645 8,77 8,77 79,539515 79,495665 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-15 9,1035 9,0985 8,85 8,85 80,565975 80,521725 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-16 9,0975 9,0925 8,72 8,72 79,3302 79,2866 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-17 9,1045 9,0995 8,73 8,73 79,482285 79,438635 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-18 9,1035 9,0985 8,75 8,75 79,655625 79,611875 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-21 9,1265 9,1215 8,72 8,72 79,58308 79,53948 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-22 9,1265 9,1215 8,75 8,75 79,856875 79,813125 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-23 9,1165 9,1115 8,72 8,72 79,49588 79,45228 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-24 9,1135 9,1085 8,77 8,77 79,925395 79,881545 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-29 9,1315 9,1265 8,79 8,79 80,265885 80,221935 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-30 9,1425 9,1375 8,75 8,75 79,996875 79,953125 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-03-31 9,1405 9,1355 8,74 8,74 79,88797 79,84427 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-01 9,1645 9,1595 8,78 8,78 80,46431 80,42041 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-04 9,1695 9,1645 8,73 8,73 80,049735 80,006085 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-05 9,1745 9,1695 8,8 8,8 80,7356 80,6916 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-06 9,1705 9,1655 8,84 8,84 81,06722 81,02302 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-07 9,1505 9,1455 8,86 8,86 81,07343 81,02913 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-08 9,1625 9,1575 8,88 8,88 81,363 81,3186 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-11 9,1705 9,1655 8,86 8,86 81,25063 81,20633 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-12 9,1525 9,1475 8,83 8,83 80,816575 80,772425 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-13 9,1495 9,1445 8,87 8,87 81,156065 81,111715 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-14 9,1685 9,1635 8,84 8,84 81,04954 81,00534 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-15 9,1925 9,1875 8,71 8,71 80,066675 80,023125 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-18 9,1805 9,1755 8,55 8,55 78,493275 78,450525 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-19 9,2035 9,1985 8,6 8,6 79,1501 79,1071 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-20 9,1915 9,1865 8,55 8,55 78,587325 78,544575 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-21 9,1855 9,1805 8,55 8,55 78,536025 78,493275 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-22 9,1625 9,1575 8,62 8,62 78,98075 78,93765 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-25 9,1685 9,1635 8,66 8,66 79,39921 79,35591 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-26 9,1375 9,1325 8,65 8,65 79,039375 78,996125 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-27 9,1465 9,1415 8,54 8,54 78,11111 78,06841 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-28 9,1505 9,1455 8,55 8,55 78,236775 78,194025 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-04-29 9,1705 9,1655 8,56 8,56 78,49948 78,45668 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-02 9,1935 9,1885 8,58 8,58 78,88023 78,83733 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-03 9,2245 9,2195 8,62 8,62 79,51519 79,47209 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-04 9,1915 9,1865 8,67 8,67 79,690305 79,646955 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-06 9,1715 9,1665 8,78 8,78 80,52577 80,48187 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-09 9,1815 9,1765 8,74 8,74 80,24631 80,20261 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-10 9,1985 9,1935 8,67 8,67 79,750995 79,707645 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-11 9,2105 9,2055 8,66 8,66 79,76293 79,71963 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-12 9,2315 9,2265 8,73 8,73 80,590995 80,547345 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-13 9,2045 9,1995 8,73 8,73 80,355285 80,311635 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-17 9,2325 9,2275 8,71 8,71 80,415075 80,371525 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-18 9,2095 9,2045 8,81 8,81 81,135695 81,091645 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-19 9,1905 9,1855 8,85 8,85 81,335925 81,291675 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-20 9,1955 9,1905 8,86 8,86 81,47213 81,42783 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-23 9,1805 9,1755 8,91 8,91 81,798255 81,753705 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-24 9,1815 9,1765 8,91 8,91 81,807165 81,762615 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-25 9,1785 9,1735 8,9 8,9 81,68865 81,64415 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-26 9,1945 9,1895 8,95 8,95 82,290775 82,246025 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-27 9,1955 9,1905 8,95 8,95 82,299725 82,254975 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-30 9,1905 9,1855 9 9 82,7145 82,6695 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-05-31 9,1665 9,1615 9,01 9,01 82,590165 82,545115 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-01 9,1455 9,1405 9,12 9,12 83,40696 83,36136 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-02 9,1565 9,1515 9,13 9,13 83,598845 83,553195 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-03 9,1315 9,1265 9,09 9,09 83,005335 82,959885 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-07 9,1455 9,1405 9,19 9,19 84,047145 84,001195 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-08 9,1455 9,1405 9,17 9,17 83,864235 83,818385 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-09 9,1965 9,1915 9,18 9,18 84,42387 84,37797 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-10 9,1975 9,1925 9,23 9,23 84,892925 84,846775 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-13 9,2365 9,2315 9,27 9,27 85,622355 85,576005 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-14 9,2985 9,2935 9,28 9,28 86,29008 86,24368 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-15 9,2695 9,2645 9,24 9,24 85,65018 85,60398 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-16 9,2695 9,2645 9,28 9,28 86,02096 85,97456 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-17 9,2695 9,2645 9,3 9,3 86,20635 86,15985 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-20 9,2255 9,2205 9,29 9,29 85,704895 85,658445 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-21 9,2725 9,2675 9,34 9,34 86,60515 86,55845 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-22 9,2615 9,2565 9,35 9,35 86,595025 86,548275 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-27 9,3855 9,3805 9,21 9,21 86,440455 86,394405 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-28 9,3995 9,3945 9,29 9,29 87,321355 87,274905 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-29 9,4215 9,4165 9,32 9,32 87,80838 87,76178 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-06-30 9,4415 9,4365 9,3 9,3 87,80595 87,75945 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-01 9,4595 9,4545 9,38 9,38 88,73011 88,68321 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-04 9,4795 9,4745 9,4 9,4 89,1073 89,0603 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-05 9,4575 9,4525 9,37 9,37 88,616775 88,569925 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-06 9,4195 9,4145 9,43 9,43 88,825885 88,778735 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-07 9,3965 9,3915 9,25 9,25 86,917625 86,871375 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-08 9,4175 9,4125 9,37 9,37 88,241975 88,195125 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-11 9,4665 9,4615 9,42 9,42 89,17443 89,12733 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-12 9,4645 9,4595 9,38 9,38 88,77701 88,73011 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-13 9,3915 9,3865 9,44 9,44 88,65576 88,60856 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-14 9,3675 9,3625 9,49 9,49 88,897575 88,850125 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-15 9,4055 9,4005 9,48 9,48 89,16414 89,11674 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-18 9,3895 9,3845 9,46 9,46 88,82467 88,77737 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-19 9,4425 9,4375 9,49 9,49 89,609325 89,561875 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-20 9,4265 9,4215 9,47 9,47 89,268955 89,221605 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-21 9,4625 9,4575 9,49 9,49 89,799125 89,751675 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-22 9,4495 9,4445 9,5 9,5 89,77025 89,72275 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-25 9,4275 9,4225 9,52 9,52 89,7498 89,7022 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-26 9,4155 9,4105 9,53 9,53 89,729715 89,682065 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-27 9,4725 9,4675 9,56 9,56 90,5571 90,5093 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-28 9,4515 9,4465 9,6 9,6 90,7344 90,6864 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-07-29 9,3885 9,3835 9,59 9,59 90,035715 89,987765 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-01 9,3985 9,3935 9,58 9,58 90,03763 89,98973 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-02 9,3995 9,3945 9,67 9,67 90,893165 90,844815 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-03 9,3755 9,3705 9,66 9,66 90,56733 90,51903 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-04 9,3735 9,3685 9,57 9,57 89,704395 89,656545 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-05 9,3355 9,3305 9,52 9,52 88,87396 88,82636 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-08 9,3335 9,3285 9,58 9,58 89,41493 89,36703 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-09 9,3455 9,3405 9,64 9,64 90,09062 90,04242 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-10 9,3535 9,3485 9,74 9,74 91,10309 91,05439 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-11 9,3365 9,3315 9,72 9,72 90,75078 90,70218 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-12 9,3025 9,2975 9,71 9,71 90,327275 90,278725 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-16 9,2995 9,2945 9,67 9,67 89,926165 89,877815 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-17 9,3405 9,3355 9,65 9,65 90,135825 90,087575 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-18 9,3365 9,3315 9,62 9,62 89,81713 89,76903 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-19 9,3395 9,3345 9,72 9,72 90,77994 90,73134 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-22 9,3655 9,3605 9,73 9,73 91,126315 91,077665 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-23 9,3715 9,3665 9,66 9,66 90,52869 90,48039 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-24 9,3365 9,3315 9,62 9,62 89,81713 89,76903 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-25 9,3335 9,3285 9,54 9,54 89,04159 88,99389 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-26 9,3415 9,3365 9,47 9,47 88,464005 88,416655 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-29 9,3295 9,3245 9,5 9,5 88,63025 88,58275 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-30 9,3285 9,3235 9,48 9,48 88,43418 88,38678 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-08-31 9,3585 9,3535 9,57 9,57 89,560845 89,512995 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-01 9,3365 9,3315 9,63 9,63 89,910495 89,862345 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-02 9,3025 9,2975 9,63 9,63 89,583075 89,534925 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-05 9,2845 9,2795 9,68 9,68 89,87396 89,82556 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-06 9,3225 9,3175 9,77 9,77 91,080825 91,031975 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-07 9,3075 9,3025 9,8 9,8 91,2135 91,1645 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-08 9,3255 9,3205 9,78 9,78 91,20339 91,15449 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-09 9,3445 9,3395 9,81 9,81 91,669545 91,620495 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-12 9,3015 9,2965 9,82 9,82 91,34073 91,29163 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-13 9,3015 9,2965 9,74 9,74 90,59661 90,54791 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-14 9,3365 9,3315 9,78 9,78 91,31097 91,26207 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-15 9,3425 9,3375 9,78 9,78 91,36965 91,32075 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-16 9,3465 9,3415 9,85 9,85 92,063025 92,013775 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-19 9,3355 9,3305 9,86 9,86 92,04803 91,99873 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-20 9,3395 9,3345 9,88 9,88 92,27426 92,22486 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-21 9,3405 9,3355 9,77 9,77 91,256685 91,207835 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-22 9,3405 9,3355 9,71 9,71 90,696255 90,647705 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-23 9,3695 9,3645 9,9 9,9 92,75805 92,70855 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-26 9,3815 9,3765 9,9 9,9 92,87685 92,82735 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-27 9,3885 9,3835 9,85 9,85 92,476725 92,427475 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-28 9,3935 9,3885 9,94 9,94 93,37139 93,32169 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-29 9,3845 9,3795 9,9 9,9 92,90655 92,85705 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-09-30 9,3435 9,3385 9,93 9,93 92,780955 92,731305 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-03 9,3025 9,2975 10,01 10,01 93,118025 93,067975 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-04 9,3185 9,3135 10,05 10,05 93,650925 93,600675 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-05 9,3105 9,3055 9,95 9,95 92,639475 92,589725 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-06 9,3015 9,2965 9,81 9,81 91,247715 91,198665 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-07 9,3385 9,3335 9,77 9,77 91,237145 91,188295 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-10 9,3465 9,3415 9,77 9,77 91,315305 91,266455 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-11 9,3395 9,3345 9,82 9,82 91,71389 91,66479 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-12 9,3375 9,3325 9,82 9,82 91,69425 91,64515 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-13 9,3815 9,3765 9,65 9,65 90,531475 90,483225 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-14 9,4135 9,4085 9,66 9,66 90,93441 90,88611 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-17 9,4575 9,4525 9,66 9,66 91,35945 91,31115 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-18 9,4625 9,4575 9,64 9,64 91,2185 91,1703 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-19 9,4605 9,4555 9,47 9,47 89,590935 89,543585 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-20 9,4935 9,4885 9,52 9,52 90,37812 90,33052 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-21 9,4915 9,4865 9,47 9,47 89,884505 89,837155 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-24 9,5455 9,5405 9,6 9,6 91,6368 91,5888 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-25 9,5465 9,5415 9,58 9,58 91,45547 91,40757 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-26 9,4975 9,4925 9,63 9,63 91,460925 91,412775 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-27 9,5355 9,5305 9,5 9,5 90,58725 90,53975 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-28 9,5135 9,5085 9,5 9,5 90,37825 90,33075 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-10-31 9,5495 9,5445 9,76 9,76 93,20312 93,15432 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-02 9,5855 9,5805 9,81 9,81 94,033755 93,984705 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-03 9,6515 9,6465 9,93 9,93 95,839395 95,789745 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-04 9,5875 9,5825 9,91 9,91 95,012125 94,962575 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-07 9,6075 9,6025 9,96 9,96 95,6907 95,6409 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-08 9,5685 9,5635 9,97 9,97 95,397945 95,348095 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-09 9,5575 9,5525 9,95 9,95 95,097125 95,047375 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-10 9,6105 9,6055 9,95 9,95 95,624475 95,574725 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-11 9,6365 9,6315 10,05 10,05 96,846825 96,796575 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-14 9,5505 9,5455 10,05 10,05 95,982525 95,932275 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-15 9,5805 9,5755 10 10 95,805 95,755 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-16 9,6235 9,6185 9,94 9,94 95,65759 95,60789 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-17 9,6355 9,6305 9,99 9,99 96,258645 96,208695 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-18 9,6085 9,6035 10,06 10,06 96,66151 96,61121 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-21 9,5915 9,5865 10,1 10,1 96,87415 96,82365 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-22 9,5585 9,5535 10,1 10,1 96,54085 96,49035 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-23 9,5155 9,5105 10,15 10,15 96,582325 96,531575 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-24 9,5125 9,5075 10,11 10,11 96,171375 96,120825 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-25 9,4965 9,4915 10,15 10,15 96,389475 96,338725 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-28 9,4835 9,4785 10,05 10,05 95,309175 95,258925 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-29 9,4785 9,4735 10,09 10,09 95,638065 95,587615 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-11-30 9,5295 9,5245 10,03 10,03 95,580885 95,530735 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-01 9,5165 9,5115 10,2 10,2 97,0683 97,0173 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-02 9,4905 9,4855 10,27 10,27 97,467435 97,416085 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-05 9,4065 9,4015 10,23 10,23 96,228495 96,177345 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-06 9,4185 9,4135 10,26 10,26 96,63381 96,58251 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-07 9,4255 9,4205 10,26 10,26 96,70563 96,65433 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-08 9,3965 9,3915 10,27 10,27 96,502055 96,450705 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-12 9,4315 9,4265 10,24 10,24 96,57856 96,52736 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-13 9,4295 9,4245 10,26 10,26 96,74667 96,69537 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-14 9,4365 9,4315 10,23 10,23 96,535395 96,484245 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-15 9,4345 9,4295 10,21 10,21 96,326245 96,275195 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-16 9,4765 9,4715 10,26 10,26 97,22889 97,17759 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-19 9,4535 9,4485 10,26 10,26 96,99291 96,94161 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-20 9,4015 9,3965 10,29 10,29 96,741435 96,689985 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-21 9,4485 9,4435 10,36 10,36 97,88646 97,83466 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-22 9,4365 9,4315 10,33 10,33 97,479045 97,427395 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-23 9,4425 9,4375 10,33 10,33 97,541025 97,489375 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-27 9,4915 9,4865 10,36 10,36 98,33194 98,28014 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-28 9,4345 9,4295 10,35 10,35 97,647075 97,595325 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-29 9,4115 9,4065 10,41 10,41 97,973715 97,921665 675702 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund European Equity Fund EUR 2005-12-30 9,4325 9,4275 10,34 10,34 97,53205 97,48035 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-03 6,668 6,658 14,02 14,02 93,48536 93,34516 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-04 6,728 6,718 13,86 13,86 93,25008 93,11148 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-05 6,828 6,818 13,87 13,87 94,70436 94,56566 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-07 6,87 6,86 13,79 13,79 94,7373 94,5994 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-10 6,96091 6,95091 13,79 13,79 95,9909489 95,8530489 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-11 6,96091 6,95091 13,85 13,85 96,4086035 96,2701035 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-12 6,913 6,903 13,98 13,98 96,64374 96,50394 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-13 6,843 6,833 13,96 13,96 95,52828 95,38868 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-14 6,915 6,905 13,88 13,88 95,9802 95,8414 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-17 6,915 6,905 13,91 13,91 96,18765 96,04855 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-18 6,968 6,958 13,86 13,86 96,57648 96,43788 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-19 6,91 6,9 13,89 13,89 95,9799 95,841 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-20 6,96 6,95 13,8 13,8 96,048 95,91 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-21 6,978 6,968 13,82 13,82 96,43596 96,29776 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-24 6,933 6,923 13,89 13,89 96,29937 96,16047 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-25 6,95 6,94 13,78 13,78 95,771 95,6332 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-26 6,995 6,985 13,89 13,89 97,16055 97,02165 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-27 6,93 6,92 13,85 13,85 95,9805 95,842 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-28 6,985 6,975 13,84 13,84 96,6724 96,534 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-01-31 6,998 6,988 13,87 13,87 97,06226 96,92356 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-01 6,993 6,983 13,84 13,84 96,78312 96,64472 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-02 6,953 6,943 13,86 13,86 96,36858 96,22998 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-03 6,968 6,958 13,78 13,78 96,01904 95,88124 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-04 7,01 7 13,85 13,85 97,0885 96,95 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-07 7,065 7,055 13,78 13,78 97,3557 97,2179 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-08 7,123 7,113 13,71 13,71 97,65633 97,51923 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-09 7,1 7,09 13,73 13,73 97,483 97,3457 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-10 7,088 7,078 13,77 13,77 97,60176 97,46406 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-11 7,068 7,058 13,75 13,75 97,185 97,0475 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-14 7,03 7,02 13,81 13,81 97,0843 96,9462 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-15 7,005 6,995 13,81 13,81 96,73905 96,60095 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-16 6,973 6,963 13,78 13,78 96,08794 95,95014 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-17 6,97 6,96 13,81 13,81 96,2557 96,1176 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-18 6,965 6,955 13,76 13,76 95,8384 95,7008 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-21 6,978 6,968 13,76 13,76 96,01728 95,87968 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-22 6,905 6,895 13,88 13,88 95,8414 95,7026 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-23 6,895 6,885 13,84 13,84 95,4268 95,2884 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-24 6,858 6,848 13,82 13,82 94,77756 94,63936 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-25 6,885 6,875 13,82 13,82 95,1507 95,0125 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-02-28 6,828 6,818 13,9 13,9 94,9092 94,7702 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-01 6,87 6,86 13,83 13,83 95,0121 94,8738 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-02 6,888 6,878 13,76 13,76 94,77888 94,64128 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-03 6,903 6,893 13,76 13,76 94,98528 94,84768 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-04 6,9 6,89 13,88 13,88 95,772 95,6332 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-07 6,84 6,83 13,83 13,83 94,5972 94,4589 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-08 6,825 6,815 13,92 13,92 95,004 94,8648 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-09 6,76 6,75 13,92 13,92 94,0992 93,96 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-10 6,745 6,735 13,92 13,92 93,8904 93,7512 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-11 6,765 6,755 13,96 13,96 94,4394 94,2998 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-14 6,76 6,75 13,87 13,87 93,7612 93,6225 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-15 6,815 6,805 13,89 13,89 94,66035 94,52145 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-16 6,81 6,8 13,98 13,98 95,2038 95,064 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-17 6,795 6,785 13,94 13,94 94,7223 94,5829 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-18 6,828 6,818 13,87 13,87 94,70436 94,56566 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-21 6,908 6,898 13,8 13,8 95,3304 95,1924 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-22 6,928 6,918 13,82 13,82 95,74496 95,60676 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-23 6,973 6,963 13,68 13,68 95,39064 95,25384 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-24 7,008 6,998 13,65 13,65 95,6592 95,5227 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-29 7,055 7,045 13,6 13,6 95,948 95,812 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-30 7,053 7,043 13,65 13,65 96,27345 96,13695 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-03-31 7,065 7,055 13,72 13,72 96,9318 96,7946 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-01 7,07 7,06 13,7 13,7 96,859 96,722 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-04 7,113 7,103 13,61 13,61 96,80793 96,67183 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-05 7,163 7,153 13,6 13,6 97,4168 97,2808 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-06 7,125 7,115 13,59 13,59 96,82875 96,69285 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-07 7,083 7,073 13,64 13,64 96,61212 96,47572 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-08 7,153 7,143 13,6 13,6 97,2808 97,1448 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-11 7,098 7,088 13,7 13,7 97,2426 97,1056 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-12 7,048 7,038 13,66 13,66 96,27568 96,13908 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-13 7,075 7,065 13,71 13,71 96,99825 96,86115 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-14 7,12 7,11 13,63 13,63 97,0456 96,9093 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-15 7,17 7,16 13,74 13,74 98,5158 98,3784 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-18 7,08 7,07 13,79 13,79 97,6332 97,4953 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-19 7,068 7,058 13,84 13,84 97,82112 97,68272 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-20 7,043 7,033 13,86 13,86 97,61598 97,47738 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-21 7,025 7,015 13,85 13,85 97,29625 97,15775 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-22 7,023 7,013 13,9 13,9 97,6197 97,4807 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-25 7,04 7,03 13,88 13,88 97,7152 97,5764 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-26 7,035 7,025 13,85 13,85 97,43475 97,29625 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-27 7,085 7,075 13,88 13,88 98,3398 98,201 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-28 7,085 7,075 13,87 13,87 98,26895 98,13025 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-04-29 7,08 7,07 13,9 13,9 98,412 98,273 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-02 7,15 7,14 13,86 13,86 99,099 98,9604 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-03 7,178 7,168 13,89 13,89 99,70242 99,56352 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-04 7,11 7,1 13,94 13,94 99,1134 98,974 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-06 7,085 7,075 13,85 13,85 98,12725 97,98875 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-09 7,168 7,158 13,81 13,81 98,99008 98,85198 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-10 7,178 7,168 13,87 13,87 99,55886 99,42016 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-11 7,15 7,14 13,85 13,85 99,0275 98,889 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-12 7,243 7,233 13,76 13,76 99,66368 99,52608 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-13 7,265 7,255 13,72 13,72 99,6758 99,5386 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-17 7,313 7,303 13,7 13,7 100,1881 100,0511 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-18 7,3 7,29 13,73 13,73 100,229 100,0917 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-19 7,26 7,25 13,7 13,7 99,462 99,325 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-20 7,28 7,27 13,63 13,63 99,2264 99,0901 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-23 7,32 7,31 13,68 13,68 100,1376 100,0008 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-24 7,295 7,285 13,71 13,71 100,01445 99,87735 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-25 7,298 7,288 13,71 13,71 100,05558 99,91848 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-26 7,33 7,32 13,65 13,65 100,0545 99,918 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-27 7,338 7,328 13,66 13,66 100,23708 100,10048 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-30 7,338 7,328 13,64 13,64 100,09032 99,95392 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-05-31 7,403 7,393 13,63 13,63 100,90289 100,76659 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-01 7,428 7,418 13,6 13,6 101,0208 100,8848 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-02 7,473 7,463 13,62 13,62 101,78226 101,64606 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-03 7,438 7,428 13,65 13,65 101,5287 101,3922 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-07 7,448 7,438 13,72 13,72 102,18656 102,04936 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-08 7,435 7,425 13,76 13,76 102,3056 102,168 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-09 7,523 7,513 13,65 13,65 102,68895 102,55245 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-10 7,525 7,515 13,58 13,58 102,1895 102,0537 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-13 7,643 7,633 13,47 13,47 102,95121 102,81651 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-14 7,663 7,653 13,47 13,47 103,22061 103,08591 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-15 7,693 7,683 13,47 13,47 103,62471 103,49001 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-16 7,678 7,668 13,46 13,46 103,34588 103,21128 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-17 7,643 7,633 13,55 13,55 103,56265 103,42715 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-20 7,543 7,533 13,49 13,49 101,75507 101,62017 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-21 7,648 7,638 13,56 13,56 103,70688 103,57128 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-22 7,608 7,598 13,59 13,59 103,39272 103,25682 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-27 7,73 7,72 13,63 13,63 105,3599 105,2236 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-28 7,76 7,75 13,63 13,63 105,7688 105,6325 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-29 7,833 7,823 13,51 13,51 105,82383 105,68873 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-06-30 7,823 7,813 13,54 13,54 105,92342 105,78802 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-01 7,858 7,848 13,41 13,41 105,37578 105,24168 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-04 7,945 7,935 13,35 13,35 106,06575 105,93225 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-05 7,963 7,953 13,32 13,32 106,06716 105,93396 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-06 7,895 7,885 13,33 13,33 105,24035 105,10705 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-07 7,878 7,868 13,36 13,36 105,25008 105,11648 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-08 7,913 7,903 13,35 13,35 105,63855 105,50505 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-11 7,89 7,88 13,42 13,42 105,8838 105,7496 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-12 7,77 7,76 13,52 13,52 105,0504 104,9152 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-13 7,703 7,693 13,4 13,4 103,2202 103,0862 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-14 7,76 7,75 13,4 13,4 103,984 103,85 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-15 7,76 7,75 13,36 13,36 103,6736 103,54 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-18 7,78 7,77 13,39 13,39 104,1742 104,0403 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-19 7,878 7,868 13,3 13,3 104,7774 104,6444 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-20 7,818 7,808 13,28 13,28 103,82304 103,69024 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-21 7,775 7,765 13,43 13,43 104,41825 104,28395 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-22 7,758 7,748 13,45 13,45 104,3451 104,2106 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-25 7,838 7,828 13,41 13,41 105,10758 104,97348 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-26 7,818 7,808 13,36 13,36 104,44848 104,31488 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-27 7,905 7,895 13,36 13,36 105,6108 105,4772 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-28 7,848 7,838 13,39 13,39 105,08472 104,95082 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-07-29 7,748 7,738 13,42 13,42 103,97816 103,84396 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-01 7,72 7,71 13,43 13,43 103,6796 103,5453 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-02 7,7 7,69 13,45 13,45 103,565 103,4305 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-03 7,685 7,675 13,52 13,52 103,9012 103,766 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-04 7,618 7,608 13,54 13,54 103,14772 103,01232 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-05 7,548 7,538 13,46 13,46 101,59608 101,46148 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-08 7,558 7,548 13,54 13,54 102,33532 102,19992 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-09 7,548 7,538 13,47 13,47 101,67156 101,53686 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-10 7,558 7,548 13,55 13,55 102,4109 102,2754 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-11 7,523 7,513 13,61 13,61 102,38803 102,25193 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-12 7,46 7,45 13,66 13,66 101,9036 101,767 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-16 7,523 7,513 13,64 13,64 102,61372 102,47732 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-17 7,605 7,595 13,61 13,61 103,50405 103,36795 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-18 7,61 7,6 13,54 13,54 103,0394 102,904 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-19 7,698 7,688 13,52 13,52 104,07696 103,94176 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-22 7,69 7,68 13,58 13,58 104,4302 104,2944 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-23 7,663 7,653 13,58 13,58 104,06354 103,92774 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-24 7,673 7,663 13,61 13,61 104,42953 104,29343 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-25 7,588 7,578 13,65 13,65 103,5762 103,4397 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-26 7,578 7,568 13,68 13,68 103,66704 103,53024 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-29 7,573 7,563 13,63 13,63 103,21999 103,08369 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-30 7,633 7,623 13,58 13,58 103,65614 103,52034 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-08-31 7,668 7,658 13,69 13,69 104,97492 104,83802 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-01 7,568 7,558 13,84 13,84 104,74112 104,60272 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-02 7,435 7,425 13,92 13,92 103,4952 103,356 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-05 7,41 7,4 13,9 13,9 102,999 102,86 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-06 7,485 7,475 13,85 13,85 103,66725 103,52875 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-07 7,43 7,42 13,8 13,8 102,534 102,396 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-08 7,498 7,488 13,78 13,78 103,32244 103,18464 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-09 7,523 7,513 13,84 13,84 104,11832 103,97992 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-12 7,555 7,545 13,71 13,71 103,57905 103,44195 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-13 7,57 7,56 13,69 13,69 103,6333 103,4964 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-14 7,61 7,6 13,73 13,73 104,4853 104,348 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-15 7,658 7,648 13,65 13,65 104,5317 104,3952 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-16 7,613 7,603 13,6 13,6 103,5368 103,4008 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-19 7,698 7,688 13,59 13,59 104,61582 104,47992 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-20 7,688 7,678 13,6 13,6 104,5568 104,4208 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-21 7,663 7,653 13,67 13,67 104,75321 104,61651 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-22 7,648 7,638 13,61 13,61 104,08928 103,95318 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-23 7,733 7,723 13,47 13,47 104,16351 104,02881 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-26 7,798 7,788 13,47 13,47 105,03906 104,90436 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-27 7,825 7,815 13,42 13,42 105,0115 104,8773 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-28 7,81 7,8 13,42 13,42 104,8102 104,676 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-29 7,785 7,775 13,42 13,42 104,4747 104,3405 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-09-30 7,785 7,775 13,44 13,44 104,6304 104,496 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-03 7,783 7,773 13,32 13,32 103,66956 103,53636 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-04 7,82 7,81 13,33 13,33 104,2406 104,1073 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-05 7,795 7,785 13,37 13,37 104,21915 104,08545 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-06 7,713 7,703 13,47 13,47 103,89411 103,75941 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-07 7,683 7,673 13,44 13,44 103,25952 103,12512 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-10 7,698 7,688 13,4 13,4 103,1532 103,0192 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-11 7,77 7,76 13,35 13,35 103,7295 103,596 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-12 7,805 7,795 13,35 13,35 104,19675 104,06325 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-13 7,83 7,82 13,25 13,25 103,7475 103,615 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-14 7,833 7,823 13,32 13,32 104,33556 104,20236 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-17 7,835 7,825 13,27 13,27 103,97045 103,83775 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-18 7,893 7,883 13,21 13,21 104,26653 104,13443 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-19 7,96 7,95 13,27 13,27 105,6292 105,4965 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-20 7,93 7,92 13,26 13,26 105,1518 105,0192 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-21 7,883 7,873 13,3 13,3 104,8439 104,7109 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-24 7,995 7,985 13,29 13,29 106,25355 106,12065 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-25 7,99 7,98 13,31 13,31 106,3469 106,2138 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-26 7,868 7,858 13,23 13,23 104,09364 103,96134 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-27 7,868 7,858 13,27 13,27 104,40836 104,27566 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-28 7,825 7,815 13,23 13,23 103,52475 103,39245 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-10-31 7,905 7,895 13,16 13,16 104,0298 103,8982 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-02 7,98 7,97 13,16 13,16 105,0168 104,8852 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-03 8,01 8 13,12 13,12 105,0912 104,96 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-04 8,028 8,018 12,98 12,98 104,20344 104,07364 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-07 8,135 8,125 12,99 12,99 105,67365 105,54375 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-08 8,17 8,16 13,03 13,03 106,4551 106,3248 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-09 8,12 8,11 12,99 12,99 105,4788 105,3489 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-10 8,173 8,163 12,98 12,98 106,08554 105,95574 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-11 8,235 8,225 12,98 12,98 106,8903 106,7605 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-14 8,133 8,123 12,95 12,95 105,32235 105,19285 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-15 8,185 8,175 12,95 12,95 105,99575 105,86625 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-16 8,21 8,2 12,98 12,98 106,5658 106,436 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-17 8,258 8,248 13,03 13,03 107,60174 107,47144 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-18 8,223 8,213 12,96 12,96 106,57008 106,44048 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-21 8,123 8,113 13,03 13,03 105,84269 105,71239 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-22 8,15 8,14 13,01 13,01 106,0315 105,9014 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-23 8,048 8,038 13,07 13,07 105,18736 105,05666 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-24 8,053 8,043 13,09 13,09 105,41377 105,28287 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-25 8,078 8,068 13,05 13,05 105,4179 105,2874 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-28 8,118 8,108 13,09 13,09 106,26462 106,13372 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-29 8,015 8,005 13,04 13,04 104,5156 104,3852 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-11-30 8,088 8,078 13,06 13,06 105,62928 105,49868 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-01 8,083 8,073 13,01 13,01 105,15983 105,02973 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-02 8,103 8,093 13 13 105,339 105,209 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-05 8,045 8,035 13,01 13,01 104,66545 104,53535 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-06 7,993 7,983 13,03 13,03 104,14879 104,01849 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-07 8,015 8,005 13 13 104,195 104,065 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-08 7,988 7,978 13,07 13,07 104,40316 104,27246 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-12 7,953 7,943 13,13 13,13 104,42289 104,29159 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-13 7,905 7,895 13,13 13,13 103,79265 103,66135 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-14 7,848 7,838 13,3 13,3 104,3784 104,2454 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-15 7,858 7,848 13,26 13,26 104,19708 104,06448 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-16 7,903 7,893 13,32 13,32 105,26796 105,13476 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-19 7,865 7,855 13,31 13,31 104,68315 104,55005 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-20 7,848 7,838 13,23 13,23 103,82904 103,69674 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-21 7,948 7,938 13,16 13,16 104,59568 104,46408 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-22 7,98 7,97 13,22 13,22 105,4956 105,3634 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-23 7,955 7,945 13,24 13,24 105,3242 105,1918 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-27 8,01 8 13,24 13,24 106,0524 105,92 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-28 7,915 7,905 13,26 13,26 104,9529 104,8203 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-29 7,938 7,928 13,21 13,21 104,86098 104,72888 284521 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Bond Fund USD 2005-12-30 7,958 7,948 13,19 13,19 104,96602 104,83412 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-03 6,668 6,658 19,19 19,19 127,95892 127,76702 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-04 6,728 6,718 19,16 19,16 128,90848 128,71688 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-05 6,828 6,818 19,06 19,06 130,14168 129,95108 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-07 6,87 6,86 19,05 19,05 130,8735 130,683 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-10 6,96091 6,95091 19,05 19,05 132,6053355 132,4148355 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-11 6,96091 6,95091 19,02 19,02 132,3965082 132,2063082 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-12 6,913 6,903 19,08 19,08 131,90004 131,70924 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-13 6,843 6,833 19,13 19,13 130,90659 130,71529 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-14 6,915 6,905 19,1 19,1 132,0765 131,8855 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-17 6,915 6,905 19,11 19,11 132,14565 131,95455 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-18 6,968 6,958 19,07 19,07 132,87976 132,68906 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-19 6,91 6,9 19,08 19,08 131,8428 131,652 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-20 6,96 6,95 19,09 19,09 132,8664 132,6755 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-21 6,978 6,968 19,15 19,15 133,6287 133,4372 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-24 6,933 6,923 19,16 19,16 132,83628 132,64468 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-25 6,95 6,94 19,21 19,21 133,5095 133,3174 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-26 6,995 6,985 19,22 19,22 134,4439 134,2517 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-27 6,93 6,92 19,22 19,22 133,1946 133,0024 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-28 6,985 6,975 19,24 19,24 134,3914 134,199 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-01-31 6,998 6,988 19,27 19,27 134,85146 134,65876 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-01 6,993 6,983 19,27 19,27 134,75511 134,56241 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-02 6,953 6,943 19,26 19,26 133,91478 133,72218 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-03 6,968 6,958 19,27 19,27 134,27336 134,08066 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-04 7,01 7 19,37 19,37 135,7837 135,59 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-07 7,065 7,055 19,43 19,43 137,27295 137,07865 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-08 7,123 7,113 19,46 19,46 138,61358 138,41898 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-09 7,1 7,09 19,49 19,49 138,379 138,1841 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-10 7,088 7,078 19,48 19,48 138,07424 137,87944 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-11 7,068 7,058 19,47 19,47 137,61396 137,41926 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-14 7,03 7,02 19,47 19,47 136,8741 136,6794 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-15 7,005 6,995 19,46 19,46 136,3173 136,1227 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-16 6,973 6,963 19,43 19,43 135,48539 135,29109 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-17 6,97 6,96 19,38 19,38 135,0786 134,8848 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-18 6,965 6,955 19,36 19,36 134,8424 134,6488 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-21 6,978 6,968 19,34 19,34 134,95452 134,76112 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-22 6,905 6,895 19,32 19,32 133,4046 133,2114 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-23 6,895 6,885 19,32 19,32 133,2114 133,0182 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-24 6,858 6,848 19,35 19,35 132,7023 132,5088 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-25 6,885 6,875 19,36 19,36 133,2936 133,1 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-02-28 6,828 6,818 19,36 19,36 132,19008 131,99648 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-01 6,87 6,86 19,32 19,32 132,7284 132,5352 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-02 6,888 6,878 19,33 19,33 133,14504 132,95174 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-03 6,903 6,893 19,36 19,36 133,64208 133,44848 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-04 6,9 6,89 19,42 19,42 133,998 133,8038 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-07 6,84 6,83 19,49 19,49 133,3116 133,1167 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-08 6,825 6,815 19,48 19,48 132,951 132,7562 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-09 6,76 6,75 19,38 19,38 131,0088 130,815 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-10 6,745 6,735 19,32 19,32 130,3134 130,1202 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-11 6,765 6,755 19,32 19,32 130,6998 130,5066 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-14 6,76 6,75 19,25 19,25 130,13 129,9375 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-15 6,815 6,805 19,13 19,13 130,37095 130,17965 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-16 6,81 6,8 19,06 19,06 129,7986 129,608 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-17 6,795 6,785 19,07 19,07 129,58065 129,38995 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-18 6,828 6,818 19,08 19,08 130,27824 130,08744 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-21 6,908 6,898 19,02 19,02 131,39016 131,19996 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-22 6,928 6,918 18,98 18,98 131,49344 131,30364 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-23 6,973 6,963 18,78 18,78 130,95294 130,76514 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-24 7,008 6,998 18,76 18,76 131,47008 131,28248 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-29 7,055 7,045 18,71 18,71 131,99905 131,81195 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-30 7,053 7,043 18,79 18,79 132,52587 132,33797 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-03-31 7,065 7,055 18,88 18,88 133,3872 133,1984 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-01 7,07 7,06 18,92 18,92 133,7644 133,5752 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-04 7,113 7,103 18,87 18,87 134,22231 134,03361 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-05 7,163 7,153 18,91 18,91 135,45233 135,26323 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-06 7,125 7,115 19 19 135,375 135,185 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-07 7,083 7,073 19,01 19,01 134,64783 134,45773 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-08 7,153 7,143 19,01 19,01 135,97853 135,78843 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-11 7,098 7,088 19,03 19,03 135,07494 134,88464 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-12 7,048 7,038 19,07 19,07 134,40536 134,21466 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-13 7,075 7,065 19,12 19,12 135,274 135,0828 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-14 7,12 7,11 19,05 19,05 135,636 135,4455 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-15 7,17 7,16 18,94 18,94 135,7998 135,6104 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-18 7,08 7,07 18,95 18,95 134,166 133,9765 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-19 7,068 7,058 19,05 19,05 134,6454 134,4549 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-20 7,043 7,033 19,1 19,1 134,5213 134,3303 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-21 7,025 7,015 19,13 19,13 134,38825 134,19695 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-22 7,023 7,013 19,14 19,14 134,42022 134,22882 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-25 7,04 7,03 19,15 19,15 134,816 134,6245 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-26 7,035 7,025 19,13 19,13 134,57955 134,38825 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-27 7,085 7,075 19,08 19,08 135,1818 134,991 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-28 7,085 7,075 19,08 19,08 135,1818 134,991 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-04-29 7,08 7,07 19,08 19,08 135,0864 134,8956 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-02 7,15 7,14 19,09 19,09 136,4935 136,3026 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-03 7,178 7,168 19,13 19,13 137,31514 137,12384 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-04 7,11 7,1 19,19 19,19 136,4409 136,249 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-06 7,085 7,075 19,2 19,2 136,032 135,84 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-09 7,168 7,158 19,19 19,19 137,55392 137,36202 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-10 7,178 7,168 19,19 19,19 137,74582 137,55392 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-11 7,15 7,14 19,15 19,15 136,9225 136,731 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-12 7,243 7,233 19,16 19,16 138,77588 138,58428 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-13 7,265 7,255 19,17 19,17 139,27005 139,07835 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-17 7,313 7,303 19,13 19,13 139,89769 139,70639 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-18 7,3 7,29 19,19 19,19 140,087 139,8951 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-19 7,26 7,25 19,22 19,22 139,5372 139,345 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-20 7,28 7,27 19,25 19,25 140,14 139,9475 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-23 7,32 7,31 19,29 19,29 141,2028 141,0099 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-24 7,295 7,285 19,33 19,33 141,01235 140,81905 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-25 7,298 7,288 19,38 19,38 141,43524 141,24144 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-26 7,33 7,32 19,39 19,39 142,1287 141,9348 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-27 7,338 7,328 19,41 19,41 142,43058 142,23648 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-30 7,338 7,328 19,42 19,42 142,50396 142,30976 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-05-31 7,403 7,393 19,48 19,48 144,21044 144,01564 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-01 7,428 7,418 19,56 19,56 145,29168 145,09608 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-02 7,473 7,463 19,63 19,63 146,69499 146,49869 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-03 7,438 7,428 19,63 19,63 146,00794 145,81164 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-07 7,448 7,438 19,58 19,58 145,83184 145,63604 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-08 7,435 7,425 19,55 19,55 145,35425 145,15875 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-09 7,523 7,513 19,5 19,5 146,6985 146,5035 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-10 7,525 7,515 19,51 19,51 146,81275 146,61765 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-13 7,643 7,633 19,5 19,5 149,0385 148,8435 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-14 7,663 7,653 19,51 19,51 149,50513 149,31003 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-15 7,693 7,683 19,51 19,51 150,09043 149,89533 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-16 7,678 7,668 19,53 19,53 149,95134 149,75604 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-17 7,643 7,633 19,58 19,58 149,64994 149,45414 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-20 7,543 7,533 19,59 19,59 147,76737 147,57147 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-21 7,648 7,638 19,62 19,62 150,05376 149,85756 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-22 7,608 7,598 19,68 19,68 149,72544 149,52864 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-27 7,73 7,72 19,73 19,73 152,5129 152,3156 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-28 7,76 7,75 19,73 19,73 153,1048 152,9075 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-29 7,833 7,823 19,74 19,74 154,62342 154,42602 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-06-30 7,823 7,813 19,77 19,77 154,66071 154,46301 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-01 7,858 7,848 19,77 19,77 155,35266 155,15496 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-04 7,945 7,935 19,75 19,75 156,91375 156,71625 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-05 7,963 7,953 19,69 19,69 156,79147 156,59457 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-06 7,895 7,885 19,72 19,72 155,6894 155,4922 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-07 7,878 7,868 19,78 19,78 155,82684 155,62904 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-08 7,913 7,903 19,82 19,82 156,83566 156,63746 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-11 7,89 7,88 19,82 19,82 156,3798 156,1816 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-12 7,77 7,76 19,89 19,89 154,5453 154,3464 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-13 7,703 7,693 19,89 19,89 153,21267 153,01377 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-14 7,76 7,75 19,89 19,89 154,3464 154,1475 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-15 7,76 7,75 19,89 19,89 154,3464 154,1475 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-18 7,78 7,77 19,88 19,88 154,6664 154,4676 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-19 7,878 7,868 19,85 19,85 156,3783 156,1798 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-20 7,818 7,808 19,87 19,87 155,34366 155,14496 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-21 7,775 7,765 19,86 19,86 154,4115 154,2129 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-22 7,758 7,748 19,86 19,86 154,07388 153,87528 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-25 7,838 7,828 19,83 19,83 155,42754 155,22924 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-26 7,818 7,808 19,84 19,84 155,10912 154,91072 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-27 7,905 7,895 19,88 19,88 157,1514 156,9526 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-28 7,848 7,838 19,97 19,97 156,72456 156,52486 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-07-29 7,748 7,738 19,96 19,96 154,65008 154,45048 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-01 7,72 7,71 19,93 19,93 153,8596 153,6603 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-02 7,7 7,69 19,96 19,96 153,692 153,4924 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-03 7,685 7,675 20,02 20,02 153,8537 153,6535 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-04 7,618 7,608 20,06 20,06 152,81708 152,61648 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-05 7,548 7,538 20,04 20,04 151,26192 151,06152 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-08 7,558 7,548 20,06 20,06 151,61348 151,41288 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-09 7,548 7,538 19,94 19,94 150,50712 150,30772 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-10 7,558 7,548 20,01 20,01 151,23558 151,03548 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-11 7,523 7,513 19,98 19,98 150,30954 150,10974 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-12 7,46 7,45 20,02 20,02 149,3492 149,149 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-16 7,523 7,513 20,09 20,09 151,13707 150,93617 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-17 7,605 7,595 20,07 20,07 152,63235 152,43165 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-18 7,61 7,6 20,07 20,07 152,7327 152,532 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-19 7,698 7,688 20,04 20,04 154,26792 154,06752 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-22 7,69 7,68 20,06 20,06 154,2614 154,0608 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-23 7,663 7,653 20,09 20,09 153,94967 153,74877 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-24 7,673 7,663 20,05 20,05 153,84365 153,64315 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-25 7,588 7,578 20,08 20,08 152,36704 152,16624 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-26 7,578 7,568 20,09 20,09 152,24202 152,04112 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-29 7,573 7,563 20,11 20,11 152,29303 152,09193 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-30 7,633 7,623 20,15 20,15 153,80495 153,60345 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-08-31 7,668 7,658 20,27 20,27 155,43036 155,22766 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-01 7,568 7,558 20,35 20,35 154,0088 153,8053 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-02 7,435 7,425 20,41 20,41 151,74835 151,54425 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-05 7,41 7,4 20,41 20,41 151,2381 151,034 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-06 7,485 7,475 20,4 20,4 152,694 152,49 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-07 7,43 7,42 20,37 20,37 151,3491 151,1454 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-08 7,498 7,488 20,42 20,42 153,10916 152,90496 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-09 7,523 7,513 20,45 20,45 153,84535 153,64085 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-12 7,555 7,545 20,43 20,43 154,34865 154,14435 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-13 7,57 7,56 20,43 20,43 154,6551 154,4508 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-14 7,61 7,6 20,47 20,47 155,7767 155,572 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-15 7,658 7,648 20,5 20,5 156,989 156,784 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-16 7,613 7,603 20,5 20,5 156,0665 155,8615 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-19 7,698 7,688 20,52 20,52 157,96296 157,75776 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-20 7,688 7,678 20,52 20,52 157,75776 157,55256 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-21 7,663 7,653 20,61 20,61 157,93443 157,72833 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-22 7,648 7,638 20,6 20,6 157,5488 157,3428 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-23 7,733 7,723 20,56 20,56 158,99048 158,78488 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-26 7,798 7,788 20,56 20,56 160,32688 160,12128 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-27 7,825 7,815 20,56 20,56 160,882 160,6764 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-28 7,81 7,8 20,61 20,61 160,9641 160,758 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-29 7,785 7,775 20,68 20,68 160,9938 160,787 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-09-30 7,785 7,775 20,7 20,7 161,1495 160,9425 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-03 7,783 7,773 20,67 20,67 160,87461 160,66791 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-04 7,82 7,81 20,62 20,62 161,2484 161,0422 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-05 7,795 7,785 20,57 20,57 160,34315 160,13745 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-06 7,713 7,703 20,38 20,38 157,19094 156,98714 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-07 7,683 7,673 20,43 20,43 156,96369 156,75939 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-10 7,698 7,688 20,47 20,47 157,57806 157,37336 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-11 7,77 7,76 20,43 20,43 158,7411 158,5368 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-12 7,805 7,795 20,43 20,43 159,45615 159,25185 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-13 7,83 7,82 20,13 20,13 157,6179 157,4166 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-14 7,833 7,823 20,07 20,07 157,20831 157,00761 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-17 7,835 7,825 20,16 20,16 157,9536 157,752 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-18 7,893 7,883 20,22 20,22 159,59646 159,39426 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-19 7,96 7,95 20,22 20,22 160,9512 160,749 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-20 7,93 7,92 20,21 20,21 160,2653 160,0632 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-21 7,883 7,873 20,22 20,22 159,39426 159,19206 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-24 7,995 7,985 20,25 20,25 161,89875 161,69625 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-25 7,99 7,98 20,29 20,29 162,1171 161,9142 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-26 7,868 7,858 20,22 20,22 159,09096 158,88876 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-27 7,868 7,858 20,2 20,2 158,9336 158,7316 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-28 7,825 7,815 20,25 20,25 158,45625 158,25375 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-10-31 7,905 7,895 20,31 20,31 160,55055 160,34745 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-02 7,98 7,97 20,33 20,33 162,2334 162,0301 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-03 8,01 8 20,3 20,3 162,603 162,4 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-04 8,028 8,018 20,24 20,24 162,48672 162,28432 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-07 8,135 8,125 20,29 20,29 165,05915 164,85625 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-08 8,17 8,16 20,36 20,36 166,3412 166,1376 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-09 8,12 8,11 20,35 20,35 165,242 165,0385 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-10 8,173 8,163 20,36 20,36 166,40228 166,19868 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-11 8,235 8,225 20,4 20,4 167,994 167,79 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-14 8,133 8,123 20,39 20,39 165,83187 165,62797 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-15 8,185 8,175 20,43 20,43 167,21955 167,01525 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-16 8,21 8,2 20,5 20,5 168,305 168,1 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-17 8,258 8,248 20,58 20,58 169,94964 169,74384 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-18 8,223 8,213 20,55 20,55 168,98265 168,77715 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-21 8,123 8,113 20,6 20,6 167,3338 167,1278 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-22 8,15 8,14 20,63 20,63 168,1345 167,9282 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-23 8,048 8,038 20,7 20,7 166,5936 166,3866 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-24 8,053 8,043 20,73 20,73 166,93869 166,73139 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-25 8,078 8,068 20,75 20,75 167,6185 167,411 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-28 8,118 8,108 20,73 20,73 168,28614 168,07884 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-29 8,015 8,005 20,7 20,7 165,9105 165,7035 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-11-30 8,088 8,078 20,64 20,64 166,93632 166,72992 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-01 8,083 8,073 20,66 20,66 166,99478 166,78818 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-02 8,103 8,093 20,71 20,71 167,81313 167,60603 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-05 8,045 8,035 20,7 20,7 166,5315 166,3245 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-06 7,993 7,983 20,74 20,74 165,77482 165,56742 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-07 8,015 8,005 20,74 20,74 166,2311 166,0237 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-08 7,988 7,978 20,73 20,73 165,59124 165,38394 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-12 7,953 7,943 20,71 20,71 164,70663 164,49953 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-13 7,905 7,895 20,72 20,72 163,7916 163,5844 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-14 7,848 7,838 20,83 20,83 163,47384 163,26554 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-15 7,858 7,848 20,78 20,78 163,28924 163,08144 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-16 7,903 7,893 20,75 20,75 163,98725 163,77975 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-19 7,865 7,855 20,78 20,78 163,4347 163,2269 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-20 7,848 7,838 20,77 20,77 163,00296 162,79526 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-21 7,948 7,938 20,78 20,78 165,15944 164,95164 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-22 7,98 7,97 20,83 20,83 166,2234 166,0151 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-23 7,955 7,945 20,86 20,86 165,9413 165,7327 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-27 8,01 8 20,89 20,89 167,3289 167,12 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-28 7,915 7,905 20,91 20,91 165,50265 165,29355 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-29 7,938 7,928 20,92 20,92 166,06296 165,85376 141200 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Bond Fund USD 2005-12-30 7,958 7,948 20,95 20,95 166,7201 166,5106 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-03 6,668 6,658 23,85 23,85 159,0318 158,7933 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-04 6,728 6,718 23,41 23,41 157,50248 157,26838 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-05 6,828 6,818 23,07 23,07 157,52196 157,29126 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-07 6,87 6,86 22,89 22,89 157,2543 157,0254 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-10 6,96091 6,95091 22,89 22,89 159,3352299 159,1063299 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-11 6,96091 6,95091 22,96 22,96 159,8224936 159,5928936 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-12 6,913 6,903 23,06 23,06 159,41378 159,18318 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-13 6,843 6,833 23,18 23,18 158,62074 158,38894 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-14 6,915 6,905 23,38 23,38 161,6727 161,4389 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-17 6,915 6,905 23,56 23,56 162,9174 162,6818 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-18 6,968 6,958 23,38 23,38 162,91184 162,67804 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-19 6,91 6,9 23,42 23,42 161,8322 161,598 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-20 6,96 6,95 23,17 23,17 161,2632 161,0315 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-21 6,978 6,968 23,28 23,28 162,44784 162,21504 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-24 6,933 6,923 23,4 23,4 162,2322 161,9982 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-25 6,95 6,94 23,41 23,41 162,6995 162,4654 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-26 6,995 6,985 23,66 23,66 165,5017 165,2651 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-27 6,93 6,92 23,69 23,69 164,1717 163,9348 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-28 6,985 6,975 23,69 23,69 165,47465 165,23775 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-01-31 6,998 6,988 24,02 24,02 168,09196 167,85176 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-01 6,993 6,983 23,99 23,99 167,76207 167,52217 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-02 6,953 6,943 24,07 24,07 167,35871 167,11801 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-03 6,968 6,958 24,16 24,16 168,34688 168,10528 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-04 7,01 7 24,38 24,38 170,9038 170,66 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-07 7,065 7,055 24,52 24,52 173,2338 172,9886 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-08 7,123 7,113 24,49 24,49 174,44227 174,19737 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-09 7,1 7,09 24,45 24,45 173,595 173,3505 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-10 7,088 7,078 24,43 24,43 173,15984 172,91554 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-11 7,068 7,058 24,52 24,52 173,30736 173,06216 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-14 7,03 7,02 24,83 24,83 174,5549 174,3066 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-15 7,005 6,995 24,95 24,95 174,77475 174,52525 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-16 6,973 6,963 24,96 24,96 174,04608 173,79648 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-17 6,97 6,96 24,98 24,98 174,1106 173,8608 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-18 6,965 6,955 25,14 25,14 175,1001 174,8487 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-21 6,978 6,968 25,19 25,19 175,77582 175,52392 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-22 6,905 6,895 25,28 25,28 174,5584 174,3056 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-23 6,895 6,885 25,29 25,29 174,37455 174,12165 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-24 6,858 6,848 25,65 25,65 175,9077 175,6512 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-25 6,885 6,875 25,89 25,89 178,25265 177,99375 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-02-28 6,828 6,818 26,02 26,02 177,66456 177,40436 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-01 6,87 6,86 25,97 25,97 178,4139 178,1542 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-02 6,888 6,878 25,73 25,73 177,22824 176,97094 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-03 6,903 6,893 25,79 25,79 178,02837 177,77047 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-04 6,9 6,89 25,98 25,98 179,262 179,0022 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-07 6,84 6,83 26,1 26,1 178,524 178,263 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-08 6,825 6,815 26,02 26,02 177,5865 177,3263 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-09 6,76 6,75 25,99 25,99 175,6924 175,4325 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-10 6,745 6,735 25,74 25,74 173,6163 173,3589 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-11 6,765 6,755 25,83 25,83 174,73995 174,48165 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-14 6,76 6,75 25,53 25,53 172,5828 172,3275 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-15 6,815 6,805 25,11 25,11 171,12465 170,87355 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-16 6,81 6,8 25,02 25,02 170,3862 170,136 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-17 6,795 6,785 25,04 25,04 170,1468 169,8964 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-18 6,828 6,818 24,97 24,97 170,49516 170,24546 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-21 6,908 6,898 24,77 24,77 171,11116 170,86346 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-22 6,928 6,918 24,63 24,63 170,63664 170,39034 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-23 6,973 6,963 24,21 24,21 168,81633 168,57423 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-24 7,008 6,998 24,25 24,25 169,944 169,7015 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-29 7,055 7,045 23,85 23,85 168,26175 168,02325 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-30 7,053 7,043 24 24 169,272 169,032 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-03-31 7,065 7,055 24,33 24,33 171,89145 171,64815 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-01 7,07 7,06 24,68 24,68 174,4876 174,2408 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-04 7,113 7,103 24,43 24,43 173,77059 173,52629 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-05 7,163 7,153 24,43 24,43 174,99209 174,74779 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-06 7,125 7,115 24,61 24,61 175,34625 175,10015 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-07 7,083 7,073 24,75 24,75 175,30425 175,05675 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-08 7,153 7,143 24,73 24,73 176,89369 176,64639 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-11 7,098 7,088 24,69 24,69 175,24962 175,00272 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-12 7,048 7,038 24,68 24,68 173,94464 173,69784 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-13 7,075 7,065 24,64 24,64 174,328 174,0816 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-14 7,12 7,11 24,18 24,18 172,1616 171,9198 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-15 7,17 7,16 23,8 23,8 170,646 170,408 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-18 7,08 7,07 23,48 23,48 166,2384 166,0036 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-19 7,068 7,058 23,8 23,8 168,2184 167,9804 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-20 7,043 7,033 23,79 23,79 167,55297 167,31507 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-21 7,025 7,015 23,98 23,98 168,4595 168,2197 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-22 7,023 7,013 24,01 24,01 168,62223 168,38213 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-25 7,04 7,03 24,14 24,14 169,9456 169,7042 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-26 7,035 7,025 24,22 24,22 170,3877 170,1455 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-27 7,085 7,075 24,03 24,03 170,25255 170,01225 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-28 7,085 7,075 23,76 23,76 168,3396 168,102 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-04-29 7,08 7,07 23,9 23,9 169,212 168,973 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-02 7,15 7,14 23,99 23,99 171,5285 171,2886 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-03 7,178 7,168 23,99 23,99 172,20022 171,96032 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-04 7,11 7,1 24,45 24,45 173,8395 173,595 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-06 7,085 7,075 24,79 24,79 175,63715 175,38925 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-09 7,168 7,158 24,83 24,83 177,98144 177,73314 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-10 7,178 7,168 24,65 24,65 176,9377 176,6912 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-11 7,15 7,14 24,51 24,51 175,2465 175,0014 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-12 7,243 7,233 24,28 24,28 175,86004 175,61724 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-13 7,265 7,255 24,24 24,24 176,1036 175,8612 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-17 7,313 7,303 24,23 24,23 177,19399 176,95169 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-18 7,3 7,29 24,44 24,44 178,412 178,1676 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-19 7,26 7,25 24,68 24,68 179,1768 178,93 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-20 7,28 7,27 24,63 24,63 179,3064 179,0601 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-23 7,32 7,31 24,49 24,49 179,2668 179,0219 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-24 7,295 7,285 24,6 24,6 179,457 179,211 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-25 7,298 7,288 24,46 24,46 178,50908 178,26448 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-26 7,33 7,32 24,58 24,58 180,1714 179,9256 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-27 7,338 7,328 24,86 24,86 182,42268 182,17408 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-30 7,338 7,328 24,94 24,94 183,00972 182,76032 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-05-31 7,403 7,393 24,83 24,83 183,81649 183,56819 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-01 7,428 7,418 24,81 24,81 184,28868 184,04058 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-02 7,473 7,463 25,06 25,06 187,27338 187,02278 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-03 7,438 7,428 25,18 25,18 187,28884 187,03704 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-07 7,448 7,438 25,1 25,1 186,9448 186,6938 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-08 7,435 7,425 25,12 25,12 186,7672 186,516 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-09 7,523 7,513 25 25 188,075 187,825 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-10 7,525 7,515 25,19 25,19 189,55475 189,30285 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-13 7,643 7,633 25,22 25,22 192,75646 192,50426 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-14 7,663 7,653 25,29 25,29 193,79727 193,54437 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-15 7,693 7,683 25,44 25,44 195,70992 195,45552 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-16 7,678 7,668 25,64 25,64 196,86392 196,60752 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-17 7,643 7,633 25,8 25,8 197,1894 196,9314 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-20 7,543 7,533 25,75 25,75 194,23225 193,97475 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-21 7,648 7,638 25,66 25,66 196,24768 195,99108 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-22 7,608 7,598 25,9 25,9 197,0472 196,7882 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-27 7,73 7,72 25,67 25,67 198,4291 198,1724 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-28 7,76 7,75 25,76 25,76 199,8976 199,64 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-29 7,833 7,823 25,68 25,68 201,15144 200,89464 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-06-30 7,823 7,813 25,68 25,68 200,89464 200,63784 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-01 7,858 7,848 25,89 25,89 203,44362 203,18472 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-04 7,945 7,935 25,85 25,85 205,37825 205,11975 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-05 7,963 7,953 25,7 25,7 204,6491 204,3921 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-06 7,895 7,885 25,8 25,8 203,691 203,433 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-07 7,878 7,868 25,73 25,73 202,70094 202,44364 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-08 7,913 7,903 25,83 25,83 204,39279 204,13449 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-11 7,89 7,88 26,28 26,28 207,3492 207,0864 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-12 7,77 7,76 26,57 26,57 206,4489 206,1832 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-13 7,703 7,693 26,67 26,67 205,43901 205,17231 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-14 7,76 7,75 26,81 26,81 208,0456 207,7775 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-15 7,76 7,75 26,57 26,57 206,1832 205,9175 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-18 7,78 7,77 26,58 26,58 206,7924 206,5266 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-19 7,878 7,868 26,76 26,76 210,81528 210,54768 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-20 7,818 7,808 26,91 26,91 210,38238 210,11328 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-21 7,775 7,765 27,15 27,15 211,09125 210,81975 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-22 7,758 7,748 27,21 27,21 211,09518 210,82308 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-25 7,838 7,828 27,08 27,08 212,25304 211,98224 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-26 7,818 7,808 27,01 27,01 211,16418 210,89408 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-27 7,905 7,895 27,19 27,19 214,93695 214,66505 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-28 7,848 7,838 27,49 27,49 215,74152 215,46662 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-07-29 7,748 7,738 27,59 27,59 213,76732 213,49142 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-01 7,72 7,71 27,8 27,8 214,616 214,338 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-02 7,7 7,69 28,21 28,21 217,217 216,9349 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-03 7,685 7,675 28,35 28,35 217,86975 217,58625 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-04 7,618 7,608 28,27 28,27 215,36086 215,07816 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-05 7,548 7,538 28,11 28,11 212,17428 211,89318 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-08 7,558 7,548 28,11 28,11 212,45538 212,17428 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-09 7,548 7,538 28,28 28,28 213,45744 213,17464 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-10 7,558 7,548 28,52 28,52 215,55416 215,26896 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-11 7,523 7,513 28,45 28,45 214,02935 213,74485 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-12 7,46 7,45 28,35 28,35 211,491 211,2075 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-16 7,523 7,513 28,13 28,13 211,62199 211,34069 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-17 7,605 7,595 28,03 28,03 213,16815 212,88785 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-18 7,61 7,6 27,63 27,63 210,2643 209,988 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-19 7,698 7,688 27,54 27,54 212,00292 211,72752 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-22 7,69 7,68 27,97 27,97 215,0893 214,8096 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-23 7,663 7,653 27,79 27,79 212,95477 212,67687 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-24 7,673 7,663 27,51 27,51 211,08423 210,80913 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-25 7,588 7,578 27,63 27,63 209,65644 209,38014 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-26 7,578 7,568 27,58 27,58 209,00124 208,72544 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-29 7,573 7,563 27,43 27,43 207,72739 207,45309 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-30 7,633 7,623 27,47 27,47 209,67851 209,40381 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-08-31 7,668 7,658 27,72 27,72 212,55696 212,27976 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-01 7,568 7,558 28,17 28,17 213,19056 212,90886 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-02 7,435 7,425 28,46 28,46 211,6001 211,3155 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-05 7,41 7,4 28,45 28,45 210,8145 210,53 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-06 7,485 7,475 28,57 28,57 213,84645 213,56075 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-07 7,43 7,42 28,62 28,62 212,6466 212,3604 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-08 7,498 7,488 28,68 28,68 215,04264 214,75584 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-09 7,523 7,513 28,91 28,91 217,48993 217,20083 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-12 7,555 7,545 28,99 28,99 219,01945 218,72955 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-13 7,57 7,56 28,8 28,8 218,016 217,728 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-14 7,61 7,6 28,84 28,84 219,4724 219,184 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-15 7,658 7,648 28,95 28,95 221,6991 221,4096 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-16 7,613 7,603 29,05 29,05 221,15765 220,86715 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-19 7,698 7,688 29,21 29,21 224,85858 224,56648 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-20 7,688 7,678 29,38 29,38 225,87344 225,57964 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-21 7,663 7,653 29,52 29,52 226,21176 225,91656 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-22 7,648 7,638 29,28 29,28 223,93344 223,64064 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-23 7,733 7,723 29,05 29,05 224,64365 224,35315 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-26 7,798 7,788 29,19 29,19 227,62362 227,33172 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-27 7,825 7,815 29,32 29,32 229,429 229,1358 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-28 7,81 7,8 29,45 29,45 230,0045 229,71 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-29 7,785 7,775 29,81 29,81 232,07085 231,77275 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-09-30 7,785 7,775 29,92 29,92 232,9272 232,628 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-03 7,783 7,773 30,05 30,05 233,87915 233,57865 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-04 7,82 7,81 30,12 30,12 235,5384 235,2372 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-05 7,795 7,785 29,53 29,53 230,18635 229,89105 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-06 7,713 7,703 28,76 28,76 221,82588 221,53828 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-07 7,683 7,673 28,89 28,89 221,96187 221,67297 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-10 7,698 7,688 28,89 28,89 222,39522 222,10632 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-11 7,77 7,76 29,29 29,29 227,5833 227,2904 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-12 7,805 7,795 29,29 29,29 228,60845 228,31555 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-13 7,83 7,82 28,2 28,2 220,806 220,524 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-14 7,833 7,823 28,06 28,06 219,79398 219,51338 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-17 7,835 7,825 28,1 28,1 220,1635 219,8825 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-18 7,893 7,883 27,96 27,96 220,68828 220,40868 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-19 7,96 7,95 27,48 27,48 218,7408 218,466 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-20 7,93 7,92 27,39 27,39 217,2027 216,9288 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-21 7,883 7,873 27,7 27,7 218,3591 218,0821 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-24 7,995 7,985 27,96 27,96 223,5402 223,2606 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-25 7,99 7,98 27,79 27,79 222,0421 221,7642 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-26 7,868 7,858 27,91 27,91 219,59588 219,31678 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-27 7,868 7,858 27,61 27,61 217,23548 216,95938 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-28 7,825 7,815 27,55 27,55 215,57875 215,30325 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-10-31 7,905 7,895 28,08 28,08 221,9724 221,6916 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-02 7,98 7,97 28,85 28,85 230,223 229,9345 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-03 8,01 8 29,12 29,12 233,2512 232,96 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-04 8,028 8,018 29,11 29,11 233,69508 233,40398 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-07 8,135 8,125 28,99 28,99 235,83365 235,54375 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-08 8,17 8,16 29,06 29,06 237,4202 237,1296 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-09 8,12 8,11 29,21 29,21 237,1852 236,8931 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-10 8,173 8,163 29,22 29,22 238,81506 238,52286 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-11 8,235 8,225 29,45 29,45 242,52075 242,22625 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-14 8,133 8,123 29,5 29,5 239,9235 239,6285 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-15 8,185 8,175 29,31 29,31 239,90235 239,60925 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-16 8,21 8,2 29,45 29,45 241,7845 241,49 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-17 8,258 8,248 29,77 29,77 245,84066 245,54296 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-18 8,223 8,213 29,9 29,9 245,8677 245,5687 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-21 8,123 8,113 29,98 29,98 243,52754 243,22774 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-22 8,15 8,14 29,81 29,81 242,9515 242,6534 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-23 8,048 8,038 30,28 30,28 243,69344 243,39064 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-24 8,053 8,043 30,42 30,42 244,97226 244,66806 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-25 8,078 8,068 30,43 30,43 245,81354 245,50924 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-28 8,118 8,108 30,39 30,39 246,70602 246,40212 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-29 8,015 8,005 30,31 30,31 242,93465 242,63155 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-11-30 8,088 8,078 30,49 30,49 246,60312 246,29822 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-01 8,083 8,073 30,69 30,69 248,06727 247,76037 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-02 8,103 8,093 31 31 251,193 250,883 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-05 8,045 8,035 31,15 31,15 250,60175 250,29025 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-06 7,993 7,983 31,44 31,44 251,29992 250,98552 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-07 8,015 8,005 31,51 31,51 252,55265 252,23755 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-08 7,988 7,978 31,24 31,24 249,54512 249,23272 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-12 7,953 7,943 31,41 31,41 249,80373 249,48963 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-13 7,905 7,895 31,43 31,43 248,45415 248,13985 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-14 7,848 7,838 31,51 31,51 247,29048 246,97538 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-15 7,858 7,848 31,52 31,52 247,68416 247,36896 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-16 7,903 7,893 31,5 31,5 248,9445 248,6295 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-19 7,865 7,855 31,59 31,59 248,45535 248,13945 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-20 7,848 7,838 31,67 31,67 248,54616 248,22946 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-21 7,948 7,938 31,99 31,99 254,25652 253,93662 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-22 7,98 7,97 31,98 31,98 255,2004 254,8806 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-23 7,955 7,945 32,18 32,18 255,9919 255,6701 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-27 8,01 8 32,23 32,23 258,1623 257,84 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-28 7,915 7,905 32,11 32,11 254,15065 253,82955 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-29 7,938 7,928 32,34 32,34 256,71492 256,39152 747360 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global Emerging Markets Fund USD 2005-12-30 7,958 7,948 32,23 32,23 256,48634 256,16404 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-03 6,668 6,658 15,99 15,99 106,62132 106,46142 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-04 6,728 6,718 15,92 15,92 107,10976 106,95056 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-05 6,828 6,818 15,91 15,91 108,63348 108,47438 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-07 6,87 6,86 15,81 15,81 108,6147 108,4566 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-10 6,96091 6,95091 15,81 15,81 110,0519871 109,8938871 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-11 6,96091 6,95091 15,81 15,81 110,0519871 109,8938871 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-12 6,913 6,903 15,87 15,87 109,70931 109,55061 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-13 6,843 6,833 15,82 15,82 108,25626 108,09806 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-14 6,915 6,905 15,77 15,77 109,04955 108,89185 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-17 6,915 6,905 15,77 15,77 109,04955 108,89185 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-18 6,968 6,958 15,73 15,73 109,60664 109,44934 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-19 6,91 6,9 15,74 15,74 108,7634 108,606 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-20 6,96 6,95 15,69 15,69 109,2024 109,0455 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-21 6,978 6,968 15,7 15,7 109,5546 109,3976 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-24 6,933 6,923 15,73 15,73 109,05609 108,89879 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-25 6,95 6,94 15,7 15,7 109,115 108,958 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-26 6,995 6,985 15,76 15,76 110,2412 110,0836 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-27 6,93 6,92 15,77 15,77 109,2861 109,1284 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-28 6,985 6,975 15,76 15,76 110,0836 109,926 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-01-31 6,998 6,988 15,78 15,78 110,42844 110,27064 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-01 6,993 6,983 15,78 15,78 110,34954 110,19174 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-02 6,953 6,943 15,82 15,82 109,99646 109,83826 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-03 6,968 6,958 15,76 15,76 109,81568 109,65808 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-04 7,01 7 15,8 15,8 110,758 110,6 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-07 7,065 7,055 15,77 15,77 111,41505 111,25735 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-08 7,123 7,113 15,76 15,76 112,25848 112,10088 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-09 7,1 7,09 15,79 15,79 112,109 111,9511 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-10 7,088 7,078 15,84 15,84 112,27392 112,11552 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-11 7,068 7,058 15,84 15,84 111,95712 111,79872 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-14 7,03 7,02 15,91 15,91 111,8473 111,6882 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-15 7,005 6,995 15,94 15,94 111,6597 111,5003 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-16 6,973 6,963 15,95 15,95 111,21935 111,05985 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-17 6,97 6,96 16 16 111,52 111,36 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-18 6,965 6,955 16 16 111,44 111,28 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-21 6,978 6,968 16 16 111,648 111,488 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-22 6,905 6,895 16,06 16,06 110,8943 110,7337 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-23 6,895 6,885 16,05 16,05 110,66475 110,50425 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-24 6,858 6,848 16,07 16,07 110,20806 110,04736 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-25 6,885 6,875 16,07 16,07 110,64195 110,48125 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-02-28 6,828 6,818 16,13 16,13 110,13564 109,97434 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-01 6,87 6,86 16,09 16,09 110,5383 110,3774 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-02 6,888 6,878 16,05 16,05 110,5524 110,3919 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-03 6,903 6,893 16,06 16,06 110,86218 110,70158 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-04 6,9 6,89 16,11 16,11 111,159 110,9979 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-07 6,84 6,83 16,11 16,11 110,1924 110,0313 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-08 6,825 6,815 16,2 16,2 110,565 110,403 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-09 6,76 6,75 16,19 16,19 109,4444 109,2825 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-10 6,745 6,735 16,19 16,19 109,20155 109,03965 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-11 6,765 6,755 16,21 16,21 109,66065 109,49855 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-14 6,76 6,75 16,14 16,14 109,1064 108,945 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-15 6,815 6,805 16,11 16,11 109,78965 109,62855 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-16 6,81 6,8 16,12 16,12 109,7772 109,616 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-17 6,795 6,785 16,06 16,06 109,1277 108,9671 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-18 6,828 6,818 15,98 15,98 109,11144 108,95164 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-21 6,908 6,898 15,83 15,83 109,35364 109,19534 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-22 6,928 6,918 15,79 15,79 109,39312 109,23522 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-23 6,973 6,963 15,67 15,67 109,26691 109,11021 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-24 7,008 6,998 15,65 15,65 109,6752 109,5187 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-29 7,055 7,045 15,57 15,57 109,84635 109,69065 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-30 7,053 7,043 15,57 15,57 109,81521 109,65951 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-03-31 7,065 7,055 15,56 15,56 109,9314 109,7758 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-01 7,07 7,06 15,54 15,54 109,8678 109,7124 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-04 7,113 7,103 15,45 15,45 109,89585 109,74135 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-05 7,163 7,153 15,46 15,46 110,73998 110,58538 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-06 7,125 7,115 15,5 15,5 110,4375 110,2825 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-07 7,083 7,073 15,57 15,57 110,28231 110,12661 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-08 7,153 7,143 15,58 15,58 111,44374 111,28794 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-11 7,098 7,088 15,64 15,64 111,01272 110,85632 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-12 7,048 7,038 15,59 15,59 109,87832 109,72242 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-13 7,075 7,065 15,59 15,59 110,29925 110,14335 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-14 7,12 7,11 15,53 15,53 110,5736 110,4183 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-15 7,17 7,16 15,48 15,48 110,9916 110,8368 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-18 7,08 7,07 15,47 15,47 109,5276 109,3729 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-19 7,068 7,058 15,47 15,47 109,34196 109,18726 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-20 7,043 7,033 15,53 15,53 109,37779 109,22249 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-21 7,025 7,015 15,56 15,56 109,309 109,1534 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-22 7,023 7,013 15,57 15,57 109,34811 109,19241 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-25 7,04 7,03 15,54 15,54 109,4016 109,2462 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-26 7,035 7,025 15,49 15,49 108,97215 108,81725 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-27 7,085 7,075 15,47 15,47 109,60495 109,45025 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-28 7,085 7,075 15,42 15,42 109,2507 109,0965 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-04-29 7,08 7,07 15,39 15,39 108,9612 108,8073 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-02 7,15 7,14 15,35 15,35 109,7525 109,599 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-03 7,178 7,168 15,36 15,36 110,25408 110,10048 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-04 7,11 7,1 15,39 15,39 109,4229 109,269 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-06 7,085 7,075 15,32 15,32 108,5422 108,389 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-09 7,168 7,158 15,3 15,3 109,6704 109,5174 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-10 7,178 7,168 15,28 15,28 109,67984 109,52704 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-11 7,15 7,14 15,2 15,2 108,68 108,528 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-12 7,243 7,233 15,13 15,13 109,58659 109,43529 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-13 7,265 7,255 15,06 15,06 109,4109 109,2603 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-17 7,313 7,303 14,89 14,89 108,89057 108,74167 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-18 7,3 7,29 14,88 14,88 108,624 108,4752 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-19 7,26 7,25 14,95 14,95 108,537 108,3875 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-20 7,28 7,27 14,95 14,95 108,836 108,6865 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-23 7,32 7,31 15 15 109,8 109,65 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-24 7,295 7,285 15,03 15,03 109,64385 109,49355 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-25 7,298 7,288 15,05 15,05 109,8349 109,6844 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-26 7,33 7,32 15,07 15,07 110,4631 110,3124 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-27 7,338 7,328 15,1 15,1 110,8038 110,6528 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-30 7,338 7,328 15,09 15,09 110,73042 110,57952 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-05-31 7,403 7,393 15,05 15,05 111,41515 111,26465 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-01 7,428 7,418 15,04 15,04 111,71712 111,56672 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-02 7,473 7,463 15,11 15,11 112,91703 112,76593 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-03 7,438 7,428 15,15 15,15 112,6857 112,5342 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-07 7,448 7,438 15,17 15,17 112,98616 112,83446 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-08 7,435 7,425 15,2 15,2 113,012 112,86 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-09 7,523 7,513 15,12 15,12 113,74776 113,59656 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-10 7,525 7,515 15,09 15,09 113,55225 113,40135 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-13 7,643 7,633 15,06 15,06 115,10358 114,95298 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-14 7,663 7,653 15,09 15,09 115,63467 115,48377 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-15 7,693 7,683 15,15 15,15 116,54895 116,39745 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-16 7,678 7,668 15,14 15,14 116,24492 116,09352 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-17 7,643 7,633 15,21 15,21 116,25003 116,09793 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-20 7,543 7,533 15,17 15,17 114,42731 114,27561 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-21 7,648 7,638 15,18 15,18 116,09664 115,94484 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-22 7,608 7,598 15,18 15,18 115,48944 115,33764 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-27 7,73 7,72 15,21 15,21 117,5733 117,4212 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-28 7,76 7,75 15,18 15,18 117,7968 117,645 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-29 7,833 7,823 15,19 15,19 118,98327 118,83137 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-06-30 7,823 7,813 15,23 15,23 119,14429 118,99199 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-01 7,858 7,848 15,16 15,16 119,12728 118,97568 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-04 7,945 7,935 15,14 15,14 120,2873 120,1359 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-05 7,963 7,953 15,14 15,14 120,55982 120,40842 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-06 7,895 7,885 15,16 15,16 119,6882 119,5366 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-07 7,878 7,868 15,15 15,15 119,3517 119,2002 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-08 7,913 7,903 15,16 15,16 119,96108 119,80948 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-11 7,89 7,88 15,27 15,27 120,4803 120,3276 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-12 7,77 7,76 15,37 15,37 119,4249 119,2712 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-13 7,703 7,693 15,32 15,32 118,00996 117,85676 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-14 7,76 7,75 15,36 15,36 119,1936 119,04 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-15 7,76 7,75 15,34 15,34 119,0384 118,885 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-18 7,78 7,77 15,36 15,36 119,5008 119,3472 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-19 7,878 7,868 15,32 15,32 120,69096 120,53776 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-20 7,818 7,808 15,32 15,32 119,77176 119,61856 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-21 7,775 7,765 15,38 15,38 119,5795 119,4257 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-22 7,758 7,748 15,39 15,39 119,39562 119,24172 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-25 7,838 7,828 15,38 15,38 120,54844 120,39464 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-26 7,818 7,808 15,34 15,34 119,92812 119,77472 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-27 7,905 7,895 15,33 15,33 121,18365 121,03035 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-28 7,848 7,838 15,37 15,37 120,62376 120,47006 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-07-29 7,748 7,738 15,41 15,41 119,39668 119,24258 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-01 7,72 7,71 15,46 15,46 119,3512 119,1966 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-02 7,7 7,69 15,46 15,46 119,042 118,8874 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-03 7,685 7,675 15,52 15,52 119,2712 119,116 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-04 7,618 7,608 15,55 15,55 118,4599 118,3044 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-05 7,548 7,538 15,53 15,53 117,22044 117,06514 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-08 7,558 7,548 15,55 15,55 117,5269 117,3714 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-09 7,548 7,538 15,53 15,53 117,22044 117,06514 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-10 7,558 7,548 15,55 15,55 117,5269 117,3714 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-11 7,523 7,513 15,59 15,59 117,28357 117,12767 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-12 7,46 7,45 15,6 15,6 116,376 116,22 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-16 7,523 7,513 15,59 15,59 117,28357 117,12767 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-17 7,605 7,595 15,58 15,58 118,4859 118,3301 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-18 7,61 7,6 15,52 15,52 118,1072 117,952 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-19 7,698 7,688 15,51 15,51 119,39598 119,24088 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-22 7,69 7,68 15,58 15,58 119,8102 119,6544 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-23 7,663 7,653 15,59 15,59 119,46617 119,31027 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-24 7,673 7,663 15,61 15,61 119,77553 119,61943 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-25 7,588 7,578 15,64 15,64 118,67632 118,51992 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-26 7,578 7,568 15,66 15,66 118,67148 118,51488 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-29 7,573 7,563 15,63 15,63 118,36599 118,20969 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-30 7,633 7,623 15,58 15,58 118,92214 118,76634 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-08-31 7,668 7,658 15,63 15,63 119,85084 119,69454 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-01 7,568 7,558 15,71 15,71 118,89328 118,73618 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-02 7,435 7,425 15,74 15,74 117,0269 116,8695 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-05 7,41 7,4 15,74 15,74 116,6334 116,476 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-06 7,485 7,475 15,74 15,74 117,8139 117,6565 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-07 7,43 7,42 15,73 15,73 116,8739 116,7166 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-08 7,498 7,488 15,72 15,72 117,86856 117,71136 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-09 7,523 7,513 15,73 15,73 118,33679 118,17949 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-12 7,555 7,545 15,68 15,68 118,4624 118,3056 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-13 7,57 7,56 15,69 15,69 118,7733 118,6164 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-14 7,61 7,6 15,73 15,73 119,7053 119,548 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-15 7,658 7,648 15,67 15,67 120,00086 119,84416 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-16 7,613 7,603 15,67 15,67 119,29571 119,13901 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-19 7,698 7,688 15,62 15,62 120,24276 120,08656 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-20 7,688 7,678 15,6 15,6 119,9328 119,7768 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-21 7,663 7,653 15,62 15,62 119,69606 119,53986 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-22 7,648 7,638 15,53 15,53 118,77344 118,61814 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-23 7,733 7,723 15,49 15,49 119,78417 119,62927 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-26 7,798 7,788 15,49 15,49 120,79102 120,63612 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-27 7,825 7,815 15,47 15,47 121,05275 120,89805 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-28 7,81 7,8 15,48 15,48 120,8988 120,744 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-29 7,785 7,775 15,47 15,47 120,43395 120,27925 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-09-30 7,785 7,775 15,5 15,5 120,6675 120,5125 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-03 7,783 7,773 15,43 15,43 120,09169 119,93739 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-04 7,82 7,81 15,45 15,45 120,819 120,6645 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-05 7,795 7,785 15,46 15,46 120,5107 120,3561 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-06 7,713 7,703 15,53 15,53 119,78289 119,62759 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-07 7,683 7,673 15,5 15,5 119,0865 118,9315 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-10 7,698 7,688 15,5 15,5 119,319 119,164 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-11 7,77 7,76 15,41 15,41 119,7357 119,5816 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-12 7,805 7,795 15,39 15,39 120,11895 119,96505 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-13 7,83 7,82 15,31 15,31 119,8773 119,7242 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-14 7,833 7,823 15,36 15,36 120,31488 120,16128 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-17 7,835 7,825 15,38 15,38 120,5023 120,3485 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-18 7,893 7,883 15,37 15,37 121,31541 121,16171 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-19 7,96 7,95 15,41 15,41 122,6636 122,5095 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-20 7,93 7,92 15,41 15,41 122,2013 122,0472 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-21 7,883 7,873 15,45 15,45 121,79235 121,63785 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-24 7,995 7,985 15,44 15,44 123,4428 123,2884 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-25 7,99 7,98 15,51 15,51 123,9249 123,7698 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-26 7,868 7,858 15,48 15,48 121,79664 121,64184 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-27 7,868 7,858 15,49 15,49 121,87532 121,72042 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-28 7,825 7,815 15,45 15,45 120,89625 120,74175 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-10-31 7,905 7,895 15,41 15,41 121,81605 121,66195 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-02 7,98 7,97 15,46 15,46 123,3708 123,2162 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-03 8,01 8 15,46 15,46 123,8346 123,68 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-04 8,028 8,018 15,37 15,37 123,39036 123,23666 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-07 8,135 8,125 15,37 15,37 125,03495 124,88125 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-08 8,17 8,16 15,35 15,35 125,4095 125,256 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-09 8,12 8,11 15,33 15,33 124,4796 124,3263 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-10 8,173 8,163 15,34 15,34 125,37382 125,22042 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-11 8,235 8,225 15,32 15,32 126,1602 126,007 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-14 8,133 8,123 15,32 15,32 124,59756 124,44436 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-15 8,185 8,175 15,28 15,28 125,0668 124,914 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-16 8,21 8,2 15,26 15,26 125,2846 125,132 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-17 8,258 8,248 15,28 15,28 126,18224 126,02944 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-18 8,223 8,213 15,26 15,26 125,48298 125,33038 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-21 8,123 8,113 15,29 15,29 124,20067 124,04777 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-22 8,15 8,14 15,27 15,27 124,4505 124,2978 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-23 8,048 8,038 15,31 15,31 123,21488 123,06178 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-24 8,053 8,043 15,32 15,32 123,37196 123,21876 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-25 8,078 8,068 15,28 15,28 123,43184 123,27904 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-28 8,118 8,108 15,35 15,35 124,6113 124,4578 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-29 8,015 8,005 15,36 15,36 123,1104 122,9568 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-11-30 8,088 8,078 15,4 15,4 124,5552 124,4012 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-01 8,083 8,073 15,38 15,38 124,31654 124,16274 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-02 8,103 8,093 15,37 15,37 124,54311 124,38941 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-05 8,045 8,035 15,4 15,4 123,893 123,739 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-06 7,993 7,983 15,39 15,39 123,01227 122,85837 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-07 8,015 8,005 15,38 15,38 123,2707 123,1169 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-08 7,988 7,978 15,43 15,43 123,25484 123,10054 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-12 7,953 7,943 15,55 15,55 123,66915 123,51365 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-13 7,905 7,895 15,53 15,53 122,76465 122,60935 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-14 7,848 7,838 15,58 15,58 122,27184 122,11604 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-15 7,858 7,848 15,56 15,56 122,27048 122,11488 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-16 7,903 7,893 15,6 15,6 123,2868 123,1308 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-19 7,865 7,855 15,59 15,59 122,61535 122,45945 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-20 7,848 7,838 15,54 15,54 121,95792 121,80252 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-21 7,948 7,938 15,49 15,49 123,11452 122,95962 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-22 7,98 7,97 15,51 15,51 123,7698 123,6147 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-23 7,955 7,945 15,52 15,52 123,4616 123,3064 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-27 8,01 8 15,55 15,55 124,5555 124,4 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-28 7,915 7,905 15,57 15,57 123,23655 123,08085 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-29 7,938 7,928 15,54 15,54 123,35652 123,20112 248690 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Global High Yield Bond Fund USD 2005-12-30 7,958 7,948 15,53 15,53 123,58774 123,43244 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-03 6,668 6,658 22,23 22,23 148,22964 148,00734 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-04 6,728 6,718 21,49 21,49 144,58472 144,36982 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-05 6,828 6,818 21,25 21,25 145,095 144,8825 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-07 6,87 6,86 21,17 21,17 145,4379 145,2262 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-10 6,96091 6,95091 21,17 21,17 147,3624647 147,1507647 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-11 6,96091 6,95091 20,93 20,93 145,6918463 145,4825463 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-12 6,913 6,903 21,14 21,14 146,14082 145,92942 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-13 6,843 6,833 21,31 21,31 145,82433 145,61123 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-14 6,915 6,905 21,64 21,64 149,6406 149,4242 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-17 6,915 6,905 21,62 21,62 149,5023 149,2861 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-18 6,968 6,958 21,46 21,46 149,53328 149,31868 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-19 6,91 6,9 21,4 21,4 147,874 147,66 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-20 6,96 6,95 20,94 20,94 145,7424 145,533 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-21 6,978 6,968 21,21 21,21 148,00338 147,79128 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-24 6,933 6,923 21,4 21,4 148,3662 148,1522 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-25 6,95 6,94 21,43 21,43 148,9385 148,7242 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-26 6,995 6,985 21,78 21,78 152,3511 152,1333 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-27 6,93 6,92 21,61 21,61 149,7573 149,5412 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-28 6,985 6,975 21,64 21,64 151,1554 150,939 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-01-31 6,998 6,988 22,03 22,03 154,16594 153,94564 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-01 6,993 6,983 22,24 22,24 155,52432 155,30192 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-02 6,953 6,943 22,4 22,4 155,7472 155,5232 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-03 6,968 6,958 22,63 22,63 157,68584 157,45954 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-04 7,01 7 22,98 22,98 161,0898 160,86 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-07 7,065 7,055 23,2 23,2 163,908 163,676 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-08 7,123 7,113 23,3 23,3 165,9659 165,7329 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-09 7,1 7,09 23,41 23,41 166,211 165,9769 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-10 7,088 7,078 23,37 23,37 165,64656 165,41286 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-11 7,068 7,058 23,56 23,56 166,52208 166,28648 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-14 7,03 7,02 23,78 23,78 167,1734 166,9356 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-15 7,005 6,995 23,87 23,87 167,20935 166,97065 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-16 6,973 6,963 23,85 23,85 166,30605 166,06755 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-17 6,97 6,96 24,04 24,04 167,5588 167,3184 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-18 6,965 6,955 23,97 23,97 166,95105 166,71135 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-21 6,978 6,968 23,96 23,96 167,19288 166,95328 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-22 6,905 6,895 23,96 23,96 165,4438 165,2042 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-23 6,895 6,885 24,24 24,24 167,1348 166,8924 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-24 6,858 6,848 24,78 24,78 169,94124 169,69344 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-25 6,885 6,875 25,06 25,06 172,5381 172,2875 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-02-28 6,828 6,818 24,93 24,93 170,22204 169,97274 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-01 6,87 6,86 24,61 24,61 169,0707 168,8246 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-02 6,888 6,878 24,68 24,68 169,99584 169,74904 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-03 6,903 6,893 24,82 24,82 171,33246 171,08426 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-04 6,9 6,89 25,3 25,3 174,57 174,317 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-07 6,84 6,83 25,3 25,3 173,052 172,799 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-08 6,825 6,815 24,98 24,98 170,4885 170,2387 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-09 6,76 6,75 24,56 24,56 166,0256 165,78 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-10 6,745 6,735 24,17 24,17 163,02665 162,78495 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-11 6,765 6,755 24,15 24,15 163,37475 163,13325 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-14 6,76 6,75 23,56 23,56 159,2656 159,03 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-15 6,815 6,805 23,27 23,27 158,58505 158,35235 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-16 6,81 6,8 23,35 23,35 159,0135 158,78 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-17 6,795 6,785 23,74 23,74 161,3133 161,0759 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-18 6,828 6,818 23,55 23,55 160,7994 160,5639 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-21 6,908 6,898 23,3 23,3 160,9564 160,7234 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-22 6,928 6,918 23,02 23,02 159,48256 159,25236 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-23 6,973 6,963 22,45 22,45 156,54385 156,31935 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-24 7,008 6,998 22,79 22,79 159,71232 159,48442 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-29 7,055 7,045 22,28 22,28 157,1854 156,9626 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-30 7,053 7,043 22,76 22,76 160,52628 160,29868 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-03-31 7,065 7,055 23,01 23,01 162,56565 162,33555 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-01 7,07 7,06 23,21 23,21 164,0947 163,8626 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-04 7,113 7,103 22,93 22,93 163,10109 162,87179 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-05 7,163 7,153 22,82 22,82 163,45966 163,23146 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-06 7,125 7,115 22,83 22,83 162,66375 162,43545 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-07 7,083 7,073 23,26 23,26 164,75058 164,51798 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-08 7,153 7,143 23,18 23,18 165,80654 165,57474 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-11 7,098 7,088 23,16 23,16 164,38968 164,15808 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-12 7,048 7,038 23,27 23,27 164,00696 163,77426 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-13 7,075 7,065 23,12 23,12 163,574 163,3428 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-14 7,12 7,11 22,46 22,46 159,9152 159,6906 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-15 7,17 7,16 21,98 21,98 157,5966 157,3768 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-18 7,08 7,07 22 22 155,76 155,54 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-19 7,068 7,058 22,68 22,68 160,30224 160,07544 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-20 7,043 7,033 22,36 22,36 157,48148 157,25788 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-21 7,025 7,015 22,73 22,73 159,67825 159,45095 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-22 7,023 7,013 22,5 22,5 158,0175 157,7925 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-25 7,04 7,03 23,05 23,05 162,272 162,0415 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-26 7,035 7,025 23,15 23,15 162,86025 162,62875 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-27 7,085 7,075 22,95 22,95 162,60075 162,37125 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-28 7,085 7,075 22,24 22,24 157,5704 157,348 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-04-29 7,08 7,07 22,54 22,54 159,5832 159,3578 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-02 7,15 7,14 22,81 22,81 163,0915 162,8634 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-03 7,178 7,168 22,87 22,87 164,16086 163,93216 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-04 7,11 7,1 23,64 23,64 168,0804 167,844 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-06 7,085 7,075 23,79 23,79 168,55215 168,31425 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-09 7,168 7,158 23,88 23,88 171,17184 170,93304 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-10 7,178 7,168 23,4 23,4 167,9652 167,7312 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-11 7,15 7,14 23,4 23,4 167,31 167,076 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-12 7,243 7,233 22,95 22,95 166,22685 165,99735 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-13 7,265 7,255 22,69 22,69 164,84285 164,61595 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-17 7,313 7,303 23,04 23,04 168,49152 168,26112 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-18 7,3 7,29 23,65 23,65 172,645 172,4085 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-19 7,26 7,25 23,8 23,8 172,788 172,55 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-20 7,28 7,27 23,74 23,74 172,8272 172,5898 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-23 7,32 7,31 23,72 23,72 173,6304 173,3932 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-24 7,295 7,285 23,87 23,87 174,13165 173,89295 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-25 7,298 7,288 23,92 23,92 174,56816 174,32896 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-26 7,33 7,32 24,18 24,18 177,2394 176,9976 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-27 7,338 7,328 24,49 24,49 179,70762 179,46272 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-30 7,338 7,328 24,5 24,5 179,781 179,536 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-05-31 7,403 7,393 24,31 24,31 179,96693 179,72383 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-01 7,428 7,418 24,56 24,56 182,43168 182,18608 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-02 7,473 7,463 25,06 25,06 187,27338 187,02278 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-03 7,438 7,428 24,97 24,97 185,72686 185,47716 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-07 7,448 7,438 24,27 24,27 180,76296 180,52026 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-08 7,435 7,425 24,24 24,24 180,2244 179,982 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-09 7,523 7,513 24,11 24,11 181,37953 181,13843 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-10 7,525 7,515 24,39 24,39 183,53475 183,29085 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-13 7,643 7,633 24,55 24,55 187,63565 187,39015 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-14 7,663 7,653 24,96 24,96 191,26848 191,01888 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-15 7,693 7,683 25,07 25,07 192,86351 192,61281 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-16 7,678 7,668 25,51 25,51 195,86578 195,61068 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-17 7,643 7,633 25,79 25,79 197,11297 196,85507 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-20 7,543 7,533 25,83 25,83 194,83569 194,57739 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-21 7,648 7,638 25,7 25,7 196,5536 196,2966 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-22 7,608 7,598 25,61 25,61 194,84088 194,58478 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-27 7,73 7,72 25,55 25,55 197,5015 197,246 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-28 7,76 7,75 25,74 25,74 199,7424 199,485 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-29 7,833 7,823 25,85 25,85 202,48305 202,22455 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-06-30 7,823 7,813 25,82 25,82 201,98986 201,73166 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-01 7,858 7,848 25,93 25,93 203,75794 203,49864 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-04 7,945 7,935 25,92 25,92 205,9344 205,6752 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-05 7,963 7,953 25,8 25,8 205,4454 205,1874 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-06 7,895 7,885 25,73 25,73 203,13835 202,88105 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-07 7,878 7,868 25,83 25,83 203,48874 203,23044 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-08 7,913 7,903 26,03 26,03 205,97539 205,71509 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-11 7,89 7,88 26,31 26,31 207,5859 207,3228 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-12 7,77 7,76 26,56 26,56 206,3712 206,1056 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-13 7,703 7,693 26,61 26,61 204,97683 204,71073 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-14 7,76 7,75 26,59 26,59 206,3384 206,0725 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-15 7,76 7,75 26,36 26,36 204,5536 204,29 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-18 7,78 7,77 26,43 26,43 205,6254 205,3611 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-19 7,878 7,868 26,61 26,61 209,63358 209,36748 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-20 7,818 7,808 26,88 26,88 210,14784 209,87904 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-21 7,775 7,765 26,9 26,9 209,1475 208,8785 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-22 7,758 7,748 26,78 26,78 207,75924 207,49144 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-25 7,838 7,828 25,88 25,88 202,84744 202,58864 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-26 7,818 7,808 26,08 26,08 203,89344 203,63264 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-27 7,905 7,895 26,49 26,49 209,40345 209,13855 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-28 7,848 7,838 26,95 26,95 211,5036 211,2341 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-07-29 7,748 7,738 27,14 27,14 210,28072 210,00932 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-01 7,72 7,71 27,59 27,59 212,9948 212,7189 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-02 7,7 7,69 28,17 28,17 216,909 216,6273 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-03 7,685 7,675 28,28 28,28 217,3318 217,049 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-04 7,618 7,608 28,25 28,25 215,2085 214,926 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-05 7,548 7,538 28,11 28,11 212,17428 211,89318 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-08 7,558 7,548 28,25 28,25 213,5135 213,231 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-09 7,548 7,538 28,78 28,78 217,23144 216,94364 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-10 7,558 7,548 29,08 29,08 219,78664 219,49584 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-11 7,523 7,513 28,64 28,64 215,45872 215,17232 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-12 7,46 7,45 28,45 28,45 212,237 211,9525 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-16 7,523 7,513 28,47 28,47 214,17981 213,89511 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-17 7,605 7,595 28,54 28,54 217,0467 216,7613 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-18 7,61 7,6 28,16 28,16 214,2976 214,016 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-19 7,698 7,688 27,67 27,67 213,00366 212,72696 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-22 7,69 7,68 28,34 28,34 217,9346 217,6512 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-23 7,663 7,653 27,93 27,93 214,02759 213,74829 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-24 7,673 7,663 27,67 27,67 212,31191 212,03521 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-25 7,588 7,578 28,29 28,29 214,66452 214,38162 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-26 7,578 7,568 28,01 28,01 212,25978 211,97968 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-29 7,573 7,563 28,29 28,29 214,24017 213,95727 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-30 7,633 7,623 28,28 28,28 215,86124 215,57844 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-08-31 7,668 7,658 28,9 28,9 221,6052 221,3162 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-01 7,568 7,558 29,14 29,14 220,53152 220,24012 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-02 7,435 7,425 29,57 29,57 219,85295 219,55725 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-05 7,41 7,4 29,57 29,57 219,1137 218,818 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-06 7,485 7,475 30,11 30,11 225,37335 225,07225 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-07 7,43 7,42 30,17 30,17 224,1631 223,8614 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-08 7,498 7,488 30,12 30,12 225,83976 225,53856 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-09 7,523 7,513 30,55 30,55 229,82765 229,52215 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-12 7,555 7,545 30,45 30,45 230,04975 229,74525 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-13 7,57 7,56 30,04 30,04 227,4028 227,1024 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-14 7,61 7,6 30,26 30,26 230,2786 229,976 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-15 7,658 7,648 30,74 30,74 235,40692 235,09952 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-16 7,613 7,603 31,15 31,15 237,14495 236,83345 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-19 7,698 7,688 31,3 31,3 240,9474 240,6344 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-20 7,688 7,678 31,32 31,32 240,78816 240,47496 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-21 7,663 7,653 32,05 32,05 245,59915 245,27865 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-22 7,648 7,638 31,92 31,92 244,12416 243,80496 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-23 7,733 7,723 32,29 32,29 249,69857 249,37567 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-26 7,798 7,788 32,45 32,45 253,0451 252,7206 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-27 7,825 7,815 32,26 32,26 252,4345 252,1119 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-28 7,81 7,8 32,78 32,78 256,0118 255,684 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-29 7,785 7,775 33,05 33,05 257,29425 256,96375 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-09-30 7,785 7,775 33,26 33,26 258,9291 258,5965 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-03 7,783 7,773 33,71 33,71 262,36493 262,02783 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-04 7,82 7,81 33,23 33,23 259,8586 259,5263 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-05 7,795 7,785 32,13 32,13 250,45335 250,13205 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-06 7,713 7,703 30,9 30,9 238,3317 238,0227 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-07 7,683 7,673 31,73 31,73 243,78159 243,46429 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-10 7,698 7,688 31,82 31,82 244,95036 244,63216 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-11 7,77 7,76 32,17 32,17 249,9609 249,6392 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-12 7,805 7,795 32,17 32,17 251,08685 250,76515 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-13 7,83 7,82 30,87 30,87 241,7121 241,4034 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-14 7,833 7,823 30,85 30,85 241,64805 241,33955 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-17 7,835 7,825 31,57 31,57 247,35095 247,03525 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-18 7,893 7,883 30,92 30,92 244,05156 243,74236 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-19 7,96 7,95 31,14 31,14 247,8744 247,563 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-20 7,93 7,92 30,16 30,16 239,1688 238,8672 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-21 7,883 7,873 30,62 30,62 241,37746 241,07126 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-24 7,995 7,985 31,36 31,36 250,7232 250,4096 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-25 7,99 7,98 31,11 31,11 248,5689 248,2578 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-26 7,868 7,858 31,35 31,35 246,6618 246,3483 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-27 7,868 7,858 30,66 30,66 241,23288 240,92628 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-28 7,825 7,815 31,23 31,23 244,37475 244,06245 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-10-31 7,905 7,895 32,1 32,1 253,7505 253,4295 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-02 7,98 7,97 32,9 32,9 262,542 262,213 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-03 8,01 8 33,05 33,05 264,7305 264,4 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-04 8,028 8,018 32,97 32,97 264,68316 264,35346 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-07 8,135 8,125 33,08 33,08 269,1058 268,775 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-08 8,17 8,16 33,26 33,26 271,7342 271,4016 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-09 8,12 8,11 33,36 33,36 270,8832 270,5496 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-10 8,173 8,163 33,39 33,39 272,89647 272,56257 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-11 8,235 8,225 33,53 33,53 276,11955 275,78425 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-14 8,133 8,123 33,36 33,36 271,31688 270,98328 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-15 8,185 8,175 33,27 33,27 272,31495 271,98225 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-16 8,21 8,2 33,79 33,79 277,4159 277,078 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-17 8,258 8,248 34,34 34,34 283,57972 283,23632 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-18 8,223 8,213 34,19 34,19 281,14437 280,80247 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-21 8,123 8,113 34,56 34,56 280,73088 280,38528 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-22 8,15 8,14 34,68 34,68 282,642 282,2952 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-23 8,048 8,038 34,96 34,96 281,35808 281,00848 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-24 8,053 8,043 35,02 35,02 282,01606 281,66586 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-25 8,078 8,068 35,28 35,28 284,99184 284,63904 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-28 8,118 8,108 34,96 34,96 283,80528 283,45568 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-29 8,015 8,005 34,96 34,96 280,2044 279,8548 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-11-30 8,088 8,078 35,01 35,01 283,16088 282,81078 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-01 8,083 8,073 35,91 35,91 290,26053 289,90143 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-02 8,103 8,093 36,36 36,36 294,62508 294,26148 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-05 8,045 8,035 36,38 36,38 292,6771 292,3133 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-06 7,993 7,983 37,01 37,01 295,82093 295,45083 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-07 8,015 8,005 36,31 36,31 291,02465 290,66155 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-08 7,988 7,978 35,77 35,77 285,73076 285,37306 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-12 7,953 7,943 35,82 35,82 284,87646 284,51826 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-13 7,905 7,895 35,99 35,99 284,50095 284,14105 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-14 7,848 7,838 35,96 35,96 282,21408 281,85448 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-15 7,858 7,848 35,58 35,58 279,58764 279,23184 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-16 7,903 7,893 35,3 35,3 278,9759 278,6229 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-19 7,865 7,855 34,71 34,71 272,99415 272,64705 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-20 7,848 7,838 35,07 35,07 275,22936 274,87866 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-21 7,948 7,938 35,8 35,8 284,5384 284,1804 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-22 7,98 7,97 35,61 35,61 284,1678 283,8117 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-23 7,955 7,945 35,64 35,64 283,5162 283,1598 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-27 8,01 8 35,3 35,3 282,753 282,4 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-28 7,915 7,905 35,08 35,08 277,6582 277,3074 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-29 7,938 7,928 35,51 35,51 281,87838 281,52328 933713 WestLB Mellon Asset Management (UK) Ltd WestLB Mellon Compass Fund Latin America Fund USD 2005-12-30 7,958 7,948 35,47 35,47 282,27026 281,91556 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-03 1 1 85,05 85,05 85,05 85,05 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-04 1 1 85,82 85,82 85,82 85,82 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-05 1 1 85,17 85,17 85,17 85,17 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-07 1 1 86,1 86,1 86,1 86,1 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-10 1 1 86,15 86,15 86,15 86,15 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-11 1 1 85,34 85,34 85,34 85,34 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-12 1 1 84,88 84,88 84,88 84,88 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-13 1 1 85,27 85,27 85,27 85,27 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-14 1 1 85,71 85,71 85,71 85,71 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-17 1 1 85,94 85,94 85,94 85,94 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-18 1 1 85,91 85,91 85,91 85,91 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-19 1 1 85,99 85,99 85,99 85,99 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-20 1 1 85,72 85,72 85,72 85,72 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-21 1 1 85,7 85,7 85,7 85,7 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-24 1 1 85,91 85,91 85,91 85,91 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-25 1 1 86,56 86,56 86,56 86,56 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-26 1 1 86,57 86,57 86,57 86,57 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-27 1 1 86,94 86,94 86,94 86,94 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-28 1 1 86,8 86,8 86,8 86,8 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-01-31 1 1 87,52 87,52 87,52 87,52 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-01 1 1 87,86 87,86 87,86 87,86 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-02 1 1 88,12 88,12 88,12 88,12 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-03 1 1 88,05 88,05 88,05 88,05 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-04 1 1 88,97 88,97 88,97 88,97 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-07 1 1 89,4 89,4 89,4 89,4 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-08 1 1 89,5 89,5 89,5 89,5 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-09 1 1 89,34 89,34 89,34 89,34 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-10 1 1 89,51 89,51 89,51 89,51 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-11 1 1 90,26 90,26 90,26 90,26 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-14 1 1 90,23 90,23 90,23 90,23 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-15 1 1 90,56 90,56 90,56 90,56 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-16 1 1 90,04 90,04 90,04 90,04 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-17 1 1 90,41 90,41 90,41 90,41 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-18 1 1 90,53 90,53 90,53 90,53 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-21 1 1 90,4 90,4 90,4 90,4 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-22 1 1 89,6 89,6 89,6 89,6 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-23 1 1 89,15 89,15 89,15 89,15 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-24 1 1 89,12 89,12 89,12 89,12 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-25 1 1 89,86 89,86 89,86 89,86 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-02-28 1 1 89,43 89,43 89,43 89,43 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-01 1 1 89,95 89,95 89,95 89,95 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-02 1 1 90,27 90,27 90,27 90,27 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-03 1 1 90 90 90 90 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-04 1 1 90,45 90,45 90,45 90,45 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-07 1 1 90,49 90,49 90,49 90,49 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-08 1 1 89,88 89,88 89,88 89,88 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-09 1 1 89,74 89,74 89,74 89,74 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-10 1 1 89,03 89,03 89,03 89,03 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-11 1 1 89,1 89,1 89,1 89,1 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-14 1 1 89,31 89,31 89,31 89,31 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-15 1 1 89,98 89,98 89,98 89,98 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-16 1 1 88,77 88,77 88,77 88,77 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-17 1 1 89,03 89,03 89,03 89,03 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-18 1 1 89,28 89,28 89,28 89,28 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-21 1 1 89,24 89,24 89,24 89,24 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-22 1 1 89,32 89,32 89,32 89,32 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-23 1 1 89 89 89 89 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-24 1 1 89,16 89,16 89,16 89,16 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-29 1 1 89,83 89,83 89,83 89,83 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-30 1 1 89,58 89,58 89,58 89,58 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-03-31 1 1 89,92 89,92 89,92 89,92 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-01 1 1 90,3 90,3 90,3 90,3 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-04 1 1 89,99 89,99 89,99 89,99 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-05 1 1 90,61 90,61 90,61 90,61 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-06 1 1 90,72 90,72 90,72 90,72 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-07 1 1 91,03 91,03 91,03 91,03 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-08 1 1 91,38 91,38 91,38 91,38 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-11 1 1 91,14 91,14 91,14 91,14 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-12 1 1 90,79 90,79 90,79 90,79 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-13 1 1 91,14 91,14 91,14 91,14 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-14 1 1 91,27 91,27 91,27 91,27 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-15 1 1 89,94 89,94 89,94 89,94 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-18 1 1 88,54 88,54 88,54 88,54 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-19 1 1 89,08 89,08 89,08 89,08 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-20 1 1 88,48 88,48 88,48 88,48 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-21 1 1 88,45 88,45 88,45 88,45 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-22 1 1 89,07 89,07 89,07 89,07 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-25 1 1 89,07 89,07 89,07 89,07 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-26 1 1 88,9 88,9 88,9 88,9 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-27 1 1 87,81 87,81 87,81 87,81 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-28 1 1 87,88 87,88 87,88 87,88 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-04-29 1 1 88,44 88,44 88,44 88,44 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-02 1 1 88,78 88,78 88,78 88,78 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-03 1 1 88,97 88,97 88,97 88,97 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-04 1 1 88,98 88,98 88,98 88,98 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-06 1 1 90,24 90,24 90,24 90,24 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-09 1 1 89,88 89,88 89,88 89,88 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-10 1 1 89,55 89,55 89,55 89,55 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-11 1 1 89,62 89,62 89,62 89,62 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-12 1 1 90 90 90 90 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-13 1 1 90,05 90,05 90,05 90,05 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-16 1 1 89,96 89,96 89,96 89,96 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-17 1 1 89,85 89,85 89,85 89,85 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-18 1 1 90,72 90,72 90,72 90,72 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-19 1 1 91,32 91,32 91,32 91,32 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-20 1 1 91,34 91,34 91,34 91,34 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-23 1 1 91,49 91,49 91,49 91,49 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-24 1 1 91,47 91,47 91,47 91,47 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-25 1 1 91,53 91,53 91,53 91,53 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-26 1 1 92,26 92,26 92,26 92,26 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-27 1 1 92,15 92,15 92,15 92,15 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-30 1 1 92,49 92,49 92,49 92,49 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-05-31 1 1 92,3 92,3 92,3 92,3 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-01 1 1 93,22 93,22 93,22 93,22 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-02 1 1 93,31 93,31 93,31 93,31 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-03 1 1 93,19 93,19 93,19 93,19 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-07 1 1 93,91 93,91 93,91 93,91 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-08 1 1 94,23 94,23 94,23 94,23 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-09 1 1 94,27 94,27 94,27 94,27 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-10 1 1 95,23 95,23 95,23 95,23 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-13 1 1 96,16 96,16 96,16 96,16 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-14 1 1 95,62 95,62 95,62 95,62 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-15 1 1 95,36 95,36 95,36 95,36 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-16 1 1 95,72 95,72 95,72 95,72 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-17 1 1 95,3 95,3 95,3 95,3 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-20 1 1 95,45 95,45 95,45 95,45 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-21 1 1 95,95 95,95 95,95 95,95 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-22 1 1 96,64 96,64 96,64 96,64 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-23 1 1 97,65 97,65 97,65 97,65 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-27 1 1 96,42 96,42 96,42 96,42 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-28 1 1 97,3 97,3 97,3 97,3 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-29 1 1 98,3 98,3 98,3 98,3 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-06-30 1 1 97,96 97,96 97,96 97,96 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-01 1 1 98,93 98,93 98,93 98,93 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-04 1 1 99,14 99,14 99,14 99,14 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-05 1 1 98,31 98,31 98,31 98,31 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-06 1 1 98,64 98,64 98,64 98,64 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-07 1 1 96,88 96,88 96,88 96,88 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-08 1 1 98,73 98,73 98,73 98,73 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-11 1 1 99,68 99,68 99,68 99,68 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-12 1 1 99,02 99,02 99,02 99,02 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-13 1 1 98,83 98,83 98,83 98,83 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-14 1 1 99,6 99,6 99,6 99,6 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-15 1 1 99,36 99,36 99,36 99,36 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-18 1 1 99,21 99,21 99,21 99,21 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-19 1 1 99,63 99,63 99,63 99,63 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-20 1 1 99,7 99,7 99,7 99,7 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-21 1 1 99,94 99,94 99,94 99,94 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-22 1 1 99,97 99,97 99,97 99,97 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-25 1 1 100,17 100,17 100,17 100,17 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-26 1 1 100,54 100,54 100,54 100,54 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-27 1 1 100,66 100,66 100,66 100,66 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-28 1 1 100,76 100,76 100,76 100,76 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-07-29 1 1 100,95 100,95 100,95 100,95 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-01 1 1 100,89 100,89 100,89 100,89 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-02 1 1 101,12 101,12 101,12 101,12 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-03 1 1 101,22 101,22 101,22 101,22 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-04 1 1 99,97 99,97 99,97 99,97 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-05 1 1 99,75 99,75 99,75 99,75 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-08 1 1 100,07 100,07 100,07 100,07 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-09 1 1 100,77 100,77 100,77 100,77 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-10 1 1 101,58 101,58 101,58 101,58 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-11 1 1 101,03 101,03 101,03 101,03 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-12 1 1 100,82 100,82 100,82 100,82 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-15 1 1 100,71 100,71 100,71 100,71 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-16 1 1 100,61 100,61 100,61 100,61 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-17 1 1 100,44 100,44 100,44 100,44 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-18 1 1 100,13 100,13 100,13 100,13 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-19 1 1 101,5 101,5 101,5 101,5 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-22 1 1 101,68 101,68 101,68 101,68 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-23 1 1 100,79 100,79 100,79 100,79 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-24 1 1 100,14 100,14 100,14 100,14 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-25 1 1 99,62 99,62 99,62 99,62 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-26 1 1 98,74 98,74 98,74 98,74 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-29 1 1 99,11 99,11 99,11 99,11 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-30 1 1 99,2 99,2 99,2 99,2 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-08-31 1 1 99,86 99,86 99,86 99,86 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-01 1 1 100,24 100,24 100,24 100,24 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-02 1 1 99,73 99,73 99,73 99,73 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-05 1 1 100,52 100,52 100,52 100,52 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-06 1 1 101,43 101,43 101,43 101,43 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-07 1 1 101,81 101,81 101,81 101,81 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-08 1 1 101,94 101,94 101,94 101,94 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-09 1 1 102,12 102,12 102,12 102,12 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-12 1 1 102,08 102,08 102,08 102,08 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-13 1 1 101,74 101,74 101,74 101,74 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-14 1 1 102,01 102,01 102,01 102,01 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-15 1 1 102,23 102,23 102,23 102,23 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-16 1 1 102,99 102,99 102,99 102,99 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-19 1 1 103,15 103,15 103,15 103,15 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-20 1 1 103,2 103,2 103,2 103,2 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-21 1 1 102,56 102,56 102,56 102,56 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-22 1 1 102,1 102,1 102,1 102,1 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-23 1 1 102,62 102,62 102,62 102,62 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-26 1 1 103,77 103,77 103,77 103,77 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-27 1 1 103,69 103,69 103,69 103,69 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-28 1 1 104,55 104,55 104,55 104,55 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-29 1 1 103,74 103,74 103,74 103,74 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-09-30 1 1 103,74 103,74 103,74 103,74 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-03 1 1 104,58 104,58 104,58 104,58 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-04 1 1 104,64 104,64 104,64 104,64 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-05 1 1 103,9 103,9 103,9 103,9 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-06 1 1 102,29 102,29 102,29 102,29 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-07 1 1 102,26 102,26 102,26 102,26 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-10 1 1 102,64 102,64 102,64 102,64 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-11 1 1 102,74 102,74 102,74 102,74 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-12 1 1 102,24 102,24 102,24 102,24 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-13 1 1 101,9 101,9 101,9 101,9 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-14 1 1 102,3 102,3 102,3 102,3 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-17 1 1 102,53 102,53 102,53 102,53 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-18 1 1 102,19 102,19 102,19 102,19 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-19 1 1 100,89 100,89 100,89 100,89 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-20 1 1 101,37 101,37 101,37 101,37 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-21 1 1 100,85 100,85 100,85 100,85 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-24 1 1 102,38 102,38 102,38 102,38 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-25 1 1 101,97 101,97 101,97 101,97 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-26 1 1 102,16 102,16 102,16 102,16 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-27 1 1 100,89 100,89 100,89 100,89 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-28 1 1 101,04 101,04 101,04 101,04 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-10-31 1 1 103,6 103,6 103,6 103,6 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-01 1 1 104,27 104,27 104,27 104,27 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-02 1 1 104,84 104,84 104,84 104,84 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-03 1 1 106,26 106,26 106,26 106,26 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-04 1 1 106,23 106,23 106,23 106,23 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-07 1 1 106,71 106,71 106,71 106,71 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-08 1 1 105,96 105,96 105,96 105,96 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-09 1 1 106,59 106,59 106,59 106,59 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-10 1 1 106,9 106,9 106,9 106,9 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-11 1 1 107,02 107,02 107,02 107,02 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-14 1 1 107,25 107,25 107,25 107,25 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-15 1 1 107,69 107,69 107,69 107,69 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-16 1 1 106,75 106,75 106,75 106,75 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-17 1 1 107,09 107,09 107,09 107,09 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-18 1 1 107,74 107,74 107,74 107,74 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-21 1 1 107,66 107,66 107,66 107,66 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-22 1 1 107,36 107,36 107,36 107,36 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-23 1 1 107,41 107,41 107,41 107,41 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-24 1 1 107,11 107,11 107,11 107,11 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-25 1 1 107,12 107,12 107,12 107,12 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-28 1 1 106,43 106,43 106,43 106,43 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-29 1 1 107 107 107 107 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-11-30 1 1 106,92 106,92 106,92 106,92 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-01 1 1 108,08 108,08 108,08 108,08 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-02 1 1 107,97 107,97 107,97 107,97 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-05 1 1 107,81 107,81 107,81 107,81 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-06 1 1 107,91 107,91 107,91 107,91 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-07 1 1 107,9 107,9 107,9 107,9 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-08 1 1 108,27 108,27 108,27 108,27 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-12 1 1 108,57 108,57 108,57 108,57 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-13 1 1 108,6 108,6 108,6 108,6 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-14 1 1 108,22 108,22 108,22 108,22 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-15 1 1 108,15 108,15 108,15 108,15 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-16 1 1 108,9 108,9 108,9 108,9 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-19 1 1 108,32 108,32 108,32 108,32 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-20 1 1 108,68 108,68 108,68 108,68 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-21 1 1 109,25 109,25 109,25 109,25 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-22 1 1 109,42 109,42 109,42 109,42 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-23 1 1 109,36 109,36 109,36 109,36 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-27 1 1 109,8 109,8 109,8 109,8 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-28 1 1 108,89 108,89 108,89 108,89 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-29 1 1 109,64 109,64 109,64 109,64 570630 E. Öhman J:or Fonder AB Öhman Etisk Index Europa SEK 2005-12-30 1 1 108,64 108,64 108,64 108,64 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-03 1 1 65,46 65,46 65,46 65,46 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-04 1 1 66,03 66,03 66,03 66,03 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-05 1 1 65,53 65,53 65,53 65,53 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-07 1 1 66,15 66,15 66,15 66,15 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-10 1 1 66,2 66,2 66,2 66,2 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-11 1 1 66,69 66,69 66,69 66,69 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-12 1 1 66,56 66,56 66,56 66,56 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-13 1 1 66,44 66,44 66,44 66,44 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-14 1 1 67,25 67,25 67,25 67,25 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-17 1 1 67,75 67,75 67,75 67,75 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-18 1 1 67,27 67,27 67,27 67,27 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-19 1 1 67,14 67,14 67,14 67,14 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-20 1 1 66,36 66,36 66,36 66,36 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-21 1 1 66,2 66,2 66,2 66,2 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-24 1 1 66,74 66,74 66,74 66,74 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-25 1 1 66,31 66,31 66,31 66,31 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-26 1 1 66,87 66,87 66,87 66,87 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-27 1 1 66,79 66,79 66,79 66,79 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-28 1 1 66,76 66,76 66,76 66,76 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-01-31 1 1 66,93 66,93 66,93 66,93 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-01 1 1 66,62 66,62 66,62 66,62 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-02 1 1 66,7 66,7 66,7 66,7 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-03 1 1 66,45 66,45 66,45 66,45 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-04 1 1 66,97 66,97 66,97 66,97 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-07 1 1 67,59 67,59 67,59 67,59 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-08 1 1 67,08 67,08 67,08 67,08 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-09 1 1 66,96 66,96 66,96 66,96 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-10 1 1 67,24 67,24 67,24 67,24 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-11 1 1 67,16 67,16 67,16 67,16 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-14 1 1 67,44 67,44 67,44 67,44 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-15 1 1 67,68 67,68 67,68 67,68 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-16 1 1 67,01 67,01 67,01 67,01 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-17 1 1 66,56 66,56 66,56 66,56 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-18 1 1 66,75 66,75 66,75 66,75 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-21 1 1 66,93 66,93 66,93 66,93 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-22 1 1 66,51 66,51 66,51 66,51 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-23 1 1 65,53 65,53 65,53 65,53 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-24 1 1 65,46 65,46 65,46 65,46 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-25 1 1 66,05 66,05 66,05 66,05 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-02-28 1 1 66,7 66,7 66,7 66,7 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-01 1 1 67,13 67,13 67,13 67,13 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-02 1 1 67,73 67,73 67,73 67,73 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-03 1 1 67,52 67,52 67,52 67,52 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-04 1 1 67,43 67,43 67,43 67,43 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-07 1 1 67,52 67,52 67,52 67,52 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-08 1 1 67,04 67,04 67,04 67,04 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-09 1 1 67,81 67,81 67,81 67,81 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-10 1 1 67,19 67,19 67,19 67,19 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-11 1 1 67,24 67,24 67,24 67,24 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-14 1 1 66,95 66,95 66,95 66,95 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-15 1 1 67,33 67,33 67,33 67,33 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-16 1 1 67,37 67,37 67,37 67,37 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-17 1 1 67 67 67 67 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-18 1 1 67,9 67,9 67,9 67,9 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-21 1 1 68,39 68,39 68,39 68,39 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-22 1 1 68,21 68,21 68,21 68,21 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-23 1 1 68,22 68,22 68,22 68,22 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-24 1 1 67,44 67,44 67,44 67,44 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-29 1 1 66,72 66,72 66,72 66,72 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-30 1 1 66,2 66,2 66,2 66,2 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-03-31 1 1 67,19 67,19 67,19 67,19 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-01 1 1 67,61 67,61 67,61 67,61 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-04 1 1 67,33 67,33 67,33 67,33 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-05 1 1 67,62 67,62 67,62 67,62 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-06 1 1 67,68 67,68 67,68 67,68 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-07 1 1 67,62 67,62 67,62 67,62 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-08 1 1 67,91 67,91 67,91 67,91 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-11 1 1 67,2 67,2 67,2 67,2 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-12 1 1 66,73 66,73 66,73 66,73 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-13 1 1 66,91 66,91 66,91 66,91 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-14 1 1 66,68 66,68 66,68 66,68 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-15 1 1 65,49 65,49 65,49 65,49 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-18 1 1 63,09 63,09 63,09 63,09 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-19 1 1 64,04 64,04 64,04 64,04 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-20 1 1 64,16 64,16 64,16 64,16 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-21 1 1 63,56 63,56 63,56 63,56 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-22 1 1 64,35 64,35 64,35 64,35 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-25 1 1 64,82 64,82 64,82 64,82 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-26 1 1 64,64 64,64 64,64 64,64 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-27 1 1 64,64 64,64 64,64 64,64 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-28 1 1 64,99 64,99 64,99 64,99 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-04-29 1 1 65,95 65,95 65,95 65,95 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-02 1 1 66,2 66,2 66,2 66,2 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-03 1 1 65,78 65,78 65,78 65,78 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-04 1 1 65,83 65,83 65,83 65,83 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-06 1 1 67,33 67,33 67,33 67,33 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-09 1 1 66,92 66,92 66,92 66,92 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-10 1 1 66,71 66,71 66,71 66,71 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-11 1 1 66,91 66,91 66,91 66,91 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-12 1 1 66,58 66,58 66,58 66,58 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-13 1 1 66,31 66,31 66,31 66,31 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-16 1 1 65,89 65,89 65,89 65,89 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-17 1 1 65,2 65,2 65,2 65,2 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-18 1 1 64,88 64,88 64,88 64,88 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-19 1 1 66,05 66,05 66,05 66,05 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-20 1 1 65,84 65,84 65,84 65,84 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-23 1 1 66,47 66,47 66,47 66,47 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-24 1 1 66,56 66,56 66,56 66,56 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-25 1 1 65,79 65,79 65,79 65,79 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-26 1 1 66,04 66,04 66,04 66,04 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-27 1 1 66,51 66,51 66,51 66,51 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-30 1 1 67,31 67,31 67,31 67,31 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-05-31 1 1 67,83 67,83 67,83 67,83 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-01 1 1 68,38 68,38 68,38 68,38 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-02 1 1 68,19 68,19 68,19 68,19 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-03 1 1 68,55 68,55 68,55 68,55 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-07 1 1 68,62 68,62 68,62 68,62 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-08 1 1 69,06 69,06 69,06 69,06 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-09 1 1 68,69 68,69 68,69 68,69 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-10 1 1 69,39 69,39 69,39 69,39 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-13 1 1 69,76 69,76 69,76 69,76 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-14 1 1 69,31 69,31 69,31 69,31 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-15 1 1 69,45 69,45 69,45 69,45 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-16 1 1 69,73 69,73 69,73 69,73 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-17 1 1 69,22 69,22 69,22 69,22 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-20 1 1 69,49 69,49 69,49 69,49 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-21 1 1 70,08 70,08 70,08 70,08 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-22 1 1 70,58 70,58 70,58 70,58 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-23 1 1 71,61 71,61 71,61 71,61 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-27 1 1 70,04 70,04 70,04 70,04 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-28 1 1 70,87 70,87 70,87 70,87 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-29 1 1 71,42 71,42 71,42 71,42 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-06-30 1 1 71,09 71,09 71,09 71,09 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-01 1 1 72,14 72,14 72,14 72,14 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-04 1 1 72,68 72,68 72,68 72,68 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-05 1 1 71,99 71,99 71,99 71,99 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-06 1 1 71,67 71,67 71,67 71,67 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-07 1 1 71,44 71,44 71,44 71,44 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-08 1 1 71,52 71,52 71,52 71,52 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-11 1 1 71,57 71,57 71,57 71,57 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-12 1 1 71,12 71,12 71,12 71,12 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-13 1 1 70,47 70,47 70,47 70,47 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-14 1 1 70,92 70,92 70,92 70,92 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-15 1 1 71,38 71,38 71,38 71,38 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-18 1 1 71,67 71,67 71,67 71,67 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-19 1 1 71,28 71,28 71,28 71,28 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-20 1 1 71,31 71,31 71,31 71,31 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-21 1 1 72,57 72,57 72,57 72,57 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-22 1 1 71,81 71,81 71,81 71,81 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-25 1 1 71,5 71,5 71,5 71,5 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-26 1 1 71,43 71,43 71,43 71,43 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-27 1 1 71,82 71,82 71,82 71,82 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-28 1 1 71,33 71,33 71,33 71,33 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-07-29 1 1 71,5 71,5 71,5 71,5 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-01 1 1 71,3 71,3 71,3 71,3 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-02 1 1 71,51 71,51 71,51 71,51 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-03 1 1 71,42 71,42 71,42 71,42 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-04 1 1 70,19 70,19 70,19 70,19 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-05 1 1 69,09 69,09 69,09 69,09 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-08 1 1 69,33 69,33 69,33 69,33 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-09 1 1 70,04 70,04 70,04 70,04 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-10 1 1 71,97 71,97 71,97 71,97 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-11 1 1 72,88 72,88 72,88 72,88 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-12 1 1 73,3 73,3 73,3 73,3 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-15 1 1 73,78 73,78 73,78 73,78 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-16 1 1 74,46 74,46 74,46 74,46 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-17 1 1 74,2 74,2 74,2 74,2 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-18 1 1 74,5 74,5 74,5 74,5 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-19 1 1 74,84 74,84 74,84 74,84 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-22 1 1 76 76 76 76 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-23 1 1 75,95 75,95 75,95 75,95 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-24 1 1 75,61 75,61 75,61 75,61 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-25 1 1 75,21 75,21 75,21 75,21 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-26 1 1 75,26 75,26 75,26 75,26 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-29 1 1 74,27 74,27 74,27 74,27 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-30 1 1 75,13 75,13 75,13 75,13 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-08-31 1 1 74,62 74,62 74,62 74,62 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-01 1 1 74,68 74,68 74,68 74,68 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-02 1 1 74,44 74,44 74,44 74,44 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-05 1 1 75,64 75,64 75,64 75,64 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-06 1 1 75,41 75,41 75,41 75,41 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-07 1 1 75,36 75,36 75,36 75,36 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-08 1 1 75,07 75,07 75,07 75,07 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-09 1 1 76,42 76,42 76,42 76,42 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-12 1 1 77,89 77,89 77,89 77,89 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-13 1 1 77,92 77,92 77,92 77,92 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-14 1 1 77,98 77,98 77,98 77,98 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-15 1 1 79,28 79,28 79,28 79,28 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-16 1 1 78,77 78,77 78,77 78,77 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-19 1 1 79,22 79,22 79,22 79,22 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-20 1 1 80,43 80,43 80,43 80,43 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-21 1 1 80,76 80,76 80,76 80,76 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-22 1 1 80,93 80,93 80,93 80,93 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-23 1 1 81,22 81,22 81,22 81,22 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-26 1 1 83,08 83,08 83,08 83,08 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-27 1 1 82,2 82,2 82,2 82,2 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-28 1 1 83,75 83,75 83,75 83,75 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-29 1 1 85,35 85,35 85,35 85,35 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-09-30 1 1 83,58 83,58 83,58 83,58 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-03 1 1 84,03 84,03 84,03 84,03 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-04 1 1 84,37 84,37 84,37 84,37 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-05 1 1 83,79 83,79 83,79 83,79 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-06 1 1 80,83 80,83 80,83 80,83 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-07 1 1 80,9 80,9 80,9 80,9 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-10 1 1 81,16 81,16 81,16 81,16 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-11 1 1 83,42 83,42 83,42 83,42 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-12 1 1 83,13 83,13 83,13 83,13 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-13 1 1 83,92 83,92 83,92 83,92 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-14 1 1 83,36 83,36 83,36 83,36 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-17 1 1 82,95 82,95 82,95 82,95 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-18 1 1 83,01 83,01 83,01 83,01 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-19 1 1 81,96 81,96 81,96 81,96 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-20 1 1 82,34 82,34 82,34 82,34 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-21 1 1 82,26 82,26 82,26 82,26 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-24 1 1 82,44 82,44 82,44 82,44 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-25 1 1 82,78 82,78 82,78 82,78 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-26 1 1 83,14 83,14 83,14 83,14 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-27 1 1 83,99 83,99 83,99 83,99 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-28 1 1 83,71 83,71 83,71 83,71 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-10-31 1 1 85,36 85,36 85,36 85,36 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-01 1 1 87,35 87,35 87,35 87,35 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-02 1 1 87,21 87,21 87,21 87,21 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-03 1 1 87,22 87,22 87,22 87,22 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-04 1 1 88,53 88,53 88,53 88,53 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-07 1 1 89,58 89,58 89,58 89,58 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-08 1 1 89,84 89,84 89,84 89,84 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-09 1 1 89,89 89,89 89,89 89,89 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-10 1 1 89,41 89,41 89,41 89,41 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-11 1 1 89,62 89,62 89,62 89,62 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-14 1 1 88,26 88,26 88,26 88,26 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-15 1 1 88,4 88,4 88,4 88,4 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-16 1 1 89,15 89,15 89,15 89,15 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-17 1 1 90,71 90,71 90,71 90,71 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-18 1 1 91,9 91,9 91,9 91,9 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-21 1 1 91,55 91,55 91,55 91,55 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-22 1 1 90,98 90,98 90,98 90,98 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-23 1 1 90,59 90,59 90,59 90,59 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-24 1 1 90,04 90,04 90,04 90,04 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-25 1 1 90,41 90,41 90,41 90,41 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-28 1 1 91,07 91,07 91,07 91,07 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-29 1 1 91,37 91,37 91,37 91,37 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-11-30 1 1 90,46 90,46 90,46 90,46 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-01 1 1 91,75 91,75 91,75 91,75 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-02 1 1 92,74 92,74 92,74 92,74 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-05 1 1 92,79 92,79 92,79 92,79 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-06 1 1 91,73 91,73 91,73 91,73 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-07 1 1 92,89 92,89 92,89 92,89 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-08 1 1 90,89 90,89 90,89 90,89 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-12 1 1 93,36 93,36 93,36 93,36 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-13 1 1 93,95 93,95 93,95 93,95 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-14 1 1 93,05 93,05 93,05 93,05 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-15 1 1 93,63 93,63 93,63 93,63 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-16 1 1 93,75 93,75 93,75 93,75 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-19 1 1 93,86 93,86 93,86 93,86 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-20 1 1 95,49 95,49 95,49 95,49 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-21 1 1 97,05 97,05 97,05 97,05 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-22 1 1 97,79 97,79 97,79 97,79 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-23 1 1 98,03 98,03 98,03 98,03 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-27 1 1 97,16 97,16 97,16 97,16 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-28 1 1 97,01 97,01 97,01 97,01 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-29 1 1 97,66 97,66 97,66 97,66 606467 E. Öhman J:or Fonder AB Öhman Etisk Index Japan SEK 2005-12-30 1 1 96,6 96,6 96,6 96,6 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-03 1 1 108,55 108,55 108,55 108,55 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-04 1 1 109,57 109,57 109,57 109,57 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-05 1 1 108,59 108,59 108,59 108,59 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-07 1 1 109,84 109,84 109,84 109,84 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-10 1 1 109,87 109,87 109,87 109,87 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-11 1 1 109,53 109,53 109,53 109,53 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-12 1 1 109,28 109,28 109,28 109,28 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-13 1 1 109,84 109,84 109,84 109,84 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-14 1 1 109,6 109,6 109,6 109,6 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-17 1 1 110,1 110,1 110,1 110,1 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-18 1 1 109,84 109,84 109,84 109,84 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-19 1 1 110,21 110,21 110,21 110,21 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-20 1 1 110,16 110,16 110,16 110,16 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-21 1 1 110,51 110,51 110,51 110,51 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-24 1 1 110,38 110,38 110,38 110,38 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-25 1 1 111,28 111,28 111,28 111,28 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-26 1 1 111,6 111,6 111,6 111,6 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-27 1 1 112,85 112,85 112,85 112,85 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-28 1 1 113,16 113,16 113,16 113,16 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-01-31 1 1 113,44 113,44 113,44 113,44 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-01 1 1 113,07 113,07 113,07 113,07 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-02 1 1 113,42 113,42 113,42 113,42 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-03 1 1 113,61 113,61 113,61 113,61 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-04 1 1 114,49 114,49 114,49 114,49 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-07 1 1 116,28 116,28 116,28 116,28 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-08 1 1 115,79 115,79 115,79 115,79 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-09 1 1 116,02 116,02 116,02 116,02 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-10 1 1 117,14 117,14 117,14 117,14 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-11 1 1 117,27 117,27 117,27 117,27 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-14 1 1 116,22 116,22 116,22 116,22 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-15 1 1 115,53 115,53 115,53 115,53 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-16 1 1 115,29 115,29 115,29 115,29 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-17 1 1 115,39 115,39 115,39 115,39 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-18 1 1 115,79 115,79 115,79 115,79 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-21 1 1 116,25 116,25 116,25 116,25 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-22 1 1 114,61 114,61 114,61 114,61 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-23 1 1 113,15 113,15 113,15 113,15 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-24 1 1 112,96 112,96 112,96 112,96 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-25 1 1 113,34 113,34 113,34 113,34 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-02-28 1 1 114,03 114,03 114,03 114,03 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-01 1 1 114,11 114,11 114,11 114,11 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-02 1 1 114,8 114,8 114,8 114,8 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-03 1 1 114,84 114,84 114,84 114,84 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-04 1 1 114,6 114,6 114,6 114,6 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-07 1 1 115,26 115,26 115,26 115,26 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-08 1 1 114,91 114,91 114,91 114,91 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-09 1 1 114,88 114,88 114,88 114,88 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-10 1 1 113,66 113,66 113,66 113,66 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-11 1 1 113,24 113,24 113,24 113,24 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-14 1 1 114,21 114,21 114,21 114,21 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-15 1 1 114,67 114,67 114,67 114,67 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-16 1 1 114,85 114,85 114,85 114,85 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-17 1 1 114,98 114,98 114,98 114,98 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-18 1 1 115,97 115,97 115,97 115,97 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-21 1 1 116,71 116,71 116,71 116,71 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-22 1 1 116,35 116,35 116,35 116,35 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-23 1 1 114,64 114,64 114,64 114,64 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-24 1 1 113,91 113,91 113,91 113,91 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-29 1 1 113,66 113,66 113,66 113,66 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-30 1 1 113,62 113,62 113,62 113,62 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-03-31 1 1 114,26 114,26 114,26 114,26 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-01 1 1 115,31 115,31 115,31 115,31 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-04 1 1 115,37 115,37 115,37 115,37 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-05 1 1 115,73 115,73 115,73 115,73 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-06 1 1 115,1 115,1 115,1 115,1 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-07 1 1 115,33 115,33 115,33 115,33 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-08 1 1 116,74 116,74 116,74 116,74 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-11 1 1 115,83 115,83 115,83 115,83 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-12 1 1 116,43 116,43 116,43 116,43 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-13 1 1 116,88 116,88 116,88 116,88 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-14 1 1 116,47 116,47 116,47 116,47 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-15 1 1 113,93 113,93 113,93 113,93 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-18 1 1 111,18 111,18 111,18 111,18 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-19 1 1 112,78 112,78 112,78 112,78 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-20 1 1 112,82 112,82 112,82 112,82 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-21 1 1 113,22 113,22 113,22 113,22 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-22 1 1 114,21 114,21 114,21 114,21 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-25 1 1 114,5 114,5 114,5 114,5 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-26 1 1 115,12 115,12 115,12 115,12 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-27 1 1 114,85 114,85 114,85 114,85 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-28 1 1 116,02 116,02 116,02 116,02 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-04-29 1 1 116,08 116,08 116,08 116,08 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-02 1 1 116,84 116,84 116,84 116,84 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-03 1 1 115,53 115,53 115,53 115,53 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-04 1 1 114,44 114,44 114,44 114,44 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-06 1 1 116,12 116,12 116,12 116,12 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-09 1 1 116,09 116,09 116,09 116,09 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-10 1 1 116,25 116,25 116,25 116,25 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-11 1 1 117,14 117,14 117,14 117,14 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-12 1 1 117,95 117,95 117,95 117,95 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-13 1 1 117,64 117,64 117,64 117,64 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-16 1 1 116,6 116,6 116,6 116,6 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-17 1 1 115,63 115,63 115,63 115,63 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-18 1 1 116,08 116,08 116,08 116,08 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-19 1 1 117,33 117,33 117,33 117,33 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-20 1 1 117,55 117,55 117,55 117,55 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-23 1 1 118,47 118,47 118,47 118,47 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-24 1 1 119,21 119,21 119,21 119,21 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-25 1 1 118,69 118,69 118,69 118,69 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-26 1 1 119,31 119,31 119,31 119,31 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-27 1 1 119,79 119,79 119,79 119,79 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-30 1 1 120,62 120,62 120,62 120,62 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-05-31 1 1 120,46 120,46 120,46 120,46 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-01 1 1 121,32 121,32 121,32 121,32 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-02 1 1 122,08 122,08 122,08 122,08 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-03 1 1 122,56 122,56 122,56 122,56 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-07 1 1 124,2 124,2 124,2 124,2 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-08 1 1 125 125 125 125 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-09 1 1 126,09 126,09 126,09 126,09 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-10 1 1 126,89 126,89 126,89 126,89 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-13 1 1 128,6 128,6 128,6 128,6 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-14 1 1 125,25 125,25 125,25 125,25 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-15 1 1 124,96 124,96 124,96 124,96 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-16 1 1 125,63 125,63 125,63 125,63 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-17 1 1 125,07 125,07 125,07 125,07 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-20 1 1 125,97 125,97 125,97 125,97 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-21 1 1 126,27 126,27 126,27 126,27 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-22 1 1 127,15 127,15 127,15 127,15 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-23 1 1 128,15 128,15 128,15 128,15 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-27 1 1 126,05 126,05 126,05 126,05 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-28 1 1 127,6 127,6 127,6 127,6 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-29 1 1 127,85 127,85 127,85 127,85 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-06-30 1 1 127,89 127,89 127,89 127,89 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-01 1 1 128,49 128,49 128,49 128,49 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-04 1 1 129,38 129,38 129,38 129,38 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-05 1 1 127,7 127,7 127,7 127,7 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-06 1 1 126,99 126,99 126,99 126,99 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-07 1 1 125,58 125,58 125,58 125,58 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-08 1 1 126,17 126,17 126,17 126,17 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-11 1 1 126,78 126,78 126,78 126,78 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-12 1 1 126,04 126,04 126,04 126,04 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-13 1 1 126,27 126,27 126,27 126,27 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-14 1 1 127,93 127,93 127,93 127,93 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-15 1 1 128,5 128,5 128,5 128,5 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-18 1 1 129,17 129,17 129,17 129,17 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-19 1 1 129,63 129,63 129,63 129,63 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-20 1 1 130,92 130,92 130,92 130,92 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-21 1 1 132,1 132,1 132,1 132,1 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-22 1 1 133,37 133,37 133,37 133,37 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-25 1 1 132,76 132,76 132,76 132,76 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-26 1 1 133,03 133,03 133,03 133,03 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-27 1 1 132,76 132,76 132,76 132,76 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-28 1 1 131,7 131,7 131,7 131,7 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-07-29 1 1 132,27 132,27 132,27 132,27 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-01 1 1 131,28 131,28 131,28 131,28 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-02 1 1 131,77 131,77 131,77 131,77 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-03 1 1 131,21 131,21 131,21 131,21 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-04 1 1 130,1 130,1 130,1 130,1 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-05 1 1 129,67 129,67 129,67 129,67 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-08 1 1 129,71 129,71 129,71 129,71 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-09 1 1 129,29 129,29 129,29 129,29 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-10 1 1 129,58 129,58 129,58 129,58 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-11 1 1 129,94 129,94 129,94 129,94 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-12 1 1 129,91 129,91 129,91 129,91 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-15 1 1 129,47 129,47 129,47 129,47 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-16 1 1 131,01 131,01 131,01 131,01 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-17 1 1 130,63 130,63 130,63 130,63 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-18 1 1 130,25 130,25 130,25 130,25 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-19 1 1 130,73 130,73 130,73 130,73 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-22 1 1 131,24 131,24 131,24 131,24 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-23 1 1 130,38 130,38 130,38 130,38 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-24 1 1 128,83 128,83 128,83 128,83 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-25 1 1 128,82 128,82 128,82 128,82 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-26 1 1 128,61 128,61 128,61 128,61 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-29 1 1 127,37 127,37 127,37 127,37 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-30 1 1 128,22 128,22 128,22 128,22 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-08-31 1 1 127,99 127,99 127,99 127,99 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-01 1 1 128,89 128,89 128,89 128,89 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-02 1 1 127,64 127,64 127,64 127,64 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-05 1 1 128,49 128,49 128,49 128,49 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-06 1 1 129,01 129,01 129,01 129,01 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-07 1 1 130,13 130,13 130,13 130,13 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-08 1 1 130,95 130,95 130,95 130,95 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-09 1 1 130,84 130,84 130,84 130,84 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-12 1 1 131,97 131,97 131,97 131,97 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-13 1 1 132,1 132,1 132,1 132,1 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-14 1 1 132,96 132,96 132,96 132,96 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-15 1 1 133,05 133,05 133,05 133,05 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-16 1 1 133,63 133,63 133,63 133,63 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-19 1 1 134 134 134 134 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-20 1 1 135,08 135,08 135,08 135,08 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-21 1 1 134,41 134,41 134,41 134,41 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-22 1 1 134,26 134,26 134,26 134,26 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-23 1 1 135,07 135,07 135,07 135,07 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-26 1 1 136,66 136,66 136,66 136,66 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-27 1 1 136,93 136,93 136,93 136,93 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-28 1 1 137,37 137,37 137,37 137,37 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-29 1 1 137,98 137,98 137,98 137,98 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-09-30 1 1 137,15 137,15 137,15 137,15 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-03 1 1 138,63 138,63 138,63 138,63 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-04 1 1 138,59 138,59 138,59 138,59 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-05 1 1 135,33 135,33 135,33 135,33 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-06 1 1 131,49 131,49 131,49 131,49 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-07 1 1 131,73 131,73 131,73 131,73 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-10 1 1 133,71 133,71 133,71 133,71 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-11 1 1 132,73 132,73 132,73 132,73 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-12 1 1 132,53 132,53 132,53 132,53 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-13 1 1 133,06 133,06 133,06 133,06 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-14 1 1 132,16 132,16 132,16 132,16 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-17 1 1 132,91 132,91 132,91 132,91 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-18 1 1 134,09 134,09 134,09 134,09 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-19 1 1 131,47 131,47 131,47 131,47 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-20 1 1 132,42 132,42 132,42 132,42 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-21 1 1 131,83 131,83 131,83 131,83 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-24 1 1 132,3 132,3 132,3 132,3 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-25 1 1 131,55 131,55 131,55 131,55 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-26 1 1 132,89 132,89 132,89 132,89 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-27 1 1 132,03 132,03 132,03 132,03 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-28 1 1 130,74 130,74 130,74 130,74 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-10-31 1 1 133,52 133,52 133,52 133,52 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-01 1 1 134,75 134,75 134,75 134,75 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-02 1 1 134,03 134,03 134,03 134,03 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-03 1 1 135,54 135,54 135,54 135,54 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-04 1 1 135,35 135,35 135,35 135,35 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-07 1 1 136,07 136,07 136,07 136,07 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-08 1 1 136,6 136,6 136,6 136,6 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-09 1 1 137,36 137,36 137,36 137,36 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-10 1 1 137,61 137,61 137,61 137,61 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-11 1 1 138,3 138,3 138,3 138,3 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-14 1 1 138,19 138,19 138,19 138,19 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-15 1 1 139,32 139,32 139,32 139,32 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-16 1 1 140,07 140,07 140,07 140,07 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-17 1 1 140,11 140,11 140,11 140,11 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-18 1 1 141,1 141,1 141,1 141,1 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-21 1 1 140,46 140,46 140,46 140,46 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-22 1 1 139,18 139,18 139,18 139,18 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-23 1 1 139,12 139,12 139,12 139,12 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-24 1 1 139,99 139,99 139,99 139,99 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-25 1 1 139,44 139,44 139,44 139,44 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-28 1 1 139,05 139,05 139,05 139,05 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-29 1 1 139,93 139,93 139,93 139,93 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-11-30 1 1 139,32 139,32 139,32 139,32 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-01 1 1 139,4 139,4 139,4 139,4 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-02 1 1 140,18 140,18 140,18 140,18 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-05 1 1 140,06 140,06 140,06 140,06 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-06 1 1 139,07 139,07 139,07 139,07 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-07 1 1 139,69 139,69 139,69 139,69 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-08 1 1 137,72 137,72 137,72 137,72 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-12 1 1 138,15 138,15 138,15 138,15 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-13 1 1 137,79 137,79 137,79 137,79 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-14 1 1 137,84 137,84 137,84 137,84 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-15 1 1 138,32 138,32 138,32 138,32 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-16 1 1 137,59 137,59 137,59 137,59 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-19 1 1 137,78 137,78 137,78 137,78 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-20 1 1 138,17 138,17 138,17 138,17 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-21 1 1 140,08 140,08 140,08 140,08 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-22 1 1 139,56 139,56 139,56 139,56 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-23 1 1 139,66 139,66 139,66 139,66 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-27 1 1 139,6 139,6 139,6 139,6 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-28 1 1 139,28 139,28 139,28 139,28 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-29 1 1 140,75 140,75 140,75 140,75 642298 E. Öhman J:or Fonder AB Öhman Etisk Index Pacific SEK 2005-12-30 1 1 140,32 140,32 140,32 140,32 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-01 1 1 104,42 104,42 104,42 104,42 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-02 1 1 104,76 104,76 104,76 104,76 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-03 1 1 105,73 105,73 105,73 105,73 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-04 1 1 105,74 105,74 105,74 105,74 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-07 1 1 106,48 106,48 106,48 106,48 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-08 1 1 106,15 106,15 106,15 106,15 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-09 1 1 106,3 106,3 106,3 106,3 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-10 1 1 106,3 106,3 106,3 106,3 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-11 1 1 107,7 107,7 107,7 107,7 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-14 1 1 107,91 107,91 107,91 107,91 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-15 1 1 107,72 107,72 107,72 107,72 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-16 1 1 107,67 107,67 107,67 107,67 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-17 1 1 108,02 108,02 108,02 108,02 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-18 1 1 108,5 108,5 108,5 108,5 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-21 1 1 109,06 109,06 109,06 109,06 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-22 1 1 108,48 108,48 108,48 108,48 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-23 1 1 108,93 108,93 108,93 108,93 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-24 1 1 108,53 108,53 108,53 108,53 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-25 1 1 108,83 108,83 108,83 108,83 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-28 1 1 108,98 108,98 108,98 108,98 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-29 1 1 108,79 108,79 108,79 108,79 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-11-30 1 1 108,04 108,04 108,04 108,04 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-01 1 1 109,56 109,56 109,56 109,56 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-02 1 1 110,66 110,66 110,66 110,66 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-05 1 1 110,09 110,09 110,09 110,09 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-06 1 1 110,82 110,82 110,82 110,82 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-07 1 1 110,77 110,77 110,77 110,77 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-08 1 1 111,11 111,11 111,11 111,11 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-12 1 1 111,46 111,46 111,46 111,46 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-13 1 1 111,4 111,4 111,4 111,4 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-14 1 1 110,72 110,72 110,72 110,72 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-15 1 1 110,52 110,52 110,52 110,52 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-16 1 1 111,18 111,18 111,18 111,18 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-19 1 1 111,53 111,53 111,53 111,53 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-20 1 1 111,48 111,48 111,48 111,48 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-21 1 1 112,2 112,2 112,2 112,2 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-22 1 1 112,52 112,52 112,52 112,52 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-23 1 1 113,28 113,28 113,28 113,28 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-27 1 1 114,13 114,13 114,13 114,13 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-28 1 1 113,65 113,65 113,65 113,65 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-29 1 1 114,34 114,34 114,34 114,34 577833 E. Öhman J:or Fonder AB Öhman Etisk Index Sverige SEK 2005-12-30 1 1 113,75 113,75 113,75 113,75 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-03 1 1 73,45 73,45 73,45 73,45 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-04 1 1 74,5 74,5 74,5 74,5 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-05 1 1 73,89 73,89 73,89 73,89 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-07 1 1 74,91 74,91 74,91 74,91 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-10 1 1 74,87 74,87 74,87 74,87 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-11 1 1 73,97 73,97 73,97 73,97 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-12 1 1 73,08 73,08 73,08 73,08 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-13 1 1 73,86 73,86 73,86 73,86 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-14 1 1 74,33 74,33 74,33 74,33 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-17 1 1 74,48 74,48 74,48 74,48 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-18 1 1 74,86 74,86 74,86 74,86 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-19 1 1 74,93 74,93 74,93 74,93 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-20 1 1 74,82 74,82 74,82 74,82 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-21 1 1 74,33 74,33 74,33 74,33 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-24 1 1 73,96 73,96 73,96 73,96 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-25 1 1 74,68 74,68 74,68 74,68 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-26 1 1 73,9 73,9 73,9 73,9 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-27 1 1 74,38 74,38 74,38 74,38 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-28 1 1 74,09 74,09 74,09 74,09 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-01-31 1 1 74,81 74,81 74,81 74,81 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-01 1 1 75,05 75,05 75,05 75,05 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-02 1 1 75,37 75,37 75,37 75,37 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-03 1 1 75,37 75,37 75,37 75,37 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-04 1 1 76,06 76,06 76,06 76,06 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-07 1 1 77,23 77,23 77,23 77,23 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-08 1 1 77,41 77,41 77,41 77,41 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-09 1 1 76,69 76,69 76,69 76,69 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-10 1 1 76,07 76,07 76,07 76,07 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-11 1 1 76,98 76,98 76,98 76,98 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-14 1 1 76,15 76,15 76,15 76,15 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-15 1 1 76,5 76,5 76,5 76,5 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-16 1 1 76,28 76,28 76,28 76,28 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-17 1 1 75,72 75,72 75,72 75,72 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-18 1 1 75,44 75,44 75,44 75,44 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-21 1 1 75,48 75,48 75,48 75,48 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-22 1 1 74,08 74,08 74,08 74,08 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-23 1 1 73,86 73,86 73,86 73,86 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-24 1 1 73,81 73,81 73,81 73,81 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-25 1 1 74,47 74,47 74,47 74,47 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-02-28 1 1 74,12 74,12 74,12 74,12 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-01 1 1 74,51 74,51 74,51 74,51 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-02 1 1 75,61 75,61 75,61 75,61 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-03 1 1 74,92 74,92 74,92 74,92 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-04 1 1 74,94 74,94 74,94 74,94 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-07 1 1 75,68 75,68 75,68 75,68 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-08 1 1 74,36 74,36 74,36 74,36 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-09 1 1 74,15 74,15 74,15 74,15 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-10 1 1 73,4 73,4 73,4 73,4 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-11 1 1 73,21 73,21 73,21 73,21 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-14 1 1 73,79 73,79 73,79 73,79 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-15 1 1 74,38 74,38 74,38 74,38 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-16 1 1 72,74 72,74 72,74 72,74 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-17 1 1 73,17 73,17 73,17 73,17 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-18 1 1 73,42 73,42 73,42 73,42 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-21 1 1 73,62 73,62 73,62 73,62 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-22 1 1 73,87 73,87 73,87 73,87 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-23 1 1 74,23 74,23 74,23 74,23 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-24 1 1 74,18 74,18 74,18 74,18 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-29 1 1 75,09 75,09 75,09 75,09 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-30 1 1 74,62 74,62 74,62 74,62 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-03-31 1 1 75,19 75,19 75,19 75,19 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-01 1 1 75,87 75,87 75,87 75,87 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-04 1 1 75,44 75,44 75,44 75,44 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-05 1 1 76,04 76,04 76,04 76,04 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-06 1 1 76,4 76,4 76,4 76,4 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-07 1 1 75,97 75,97 75,97 75,97 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-08 1 1 76,28 76,28 76,28 76,28 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-11 1 1 75,21 75,21 75,21 75,21 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-12 1 1 75,18 75,18 75,18 75,18 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-13 1 1 75,64 75,64 75,64 75,64 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-14 1 1 75,69 75,69 75,69 75,69 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-15 1 1 74,22 74,22 74,22 74,22 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-18 1 1 73,12 73,12 73,12 73,12 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-19 1 1 73,46 73,46 73,46 73,46 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-20 1 1 73,04 73,04 73,04 73,04 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-21 1 1 72,66 72,66 72,66 72,66 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-22 1 1 73,4 73,4 73,4 73,4 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-25 1 1 73,86 73,86 73,86 73,86 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-26 1 1 74,22 74,22 74,22 74,22 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-27 1 1 73,52 73,52 73,52 73,52 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-28 1 1 73,99 73,99 73,99 73,99 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-04-29 1 1 73,76 73,76 73,76 73,76 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-02 1 1 75,19 75,19 75,19 75,19 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-03 1 1 74,98 74,98 74,98 74,98 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-04 1 1 74,48 74,48 74,48 74,48 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-06 1 1 76,04 76,04 76,04 76,04 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-09 1 1 75,86 75,86 75,86 75,86 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-10 1 1 75,69 75,69 75,69 75,69 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-11 1 1 75,74 75,74 75,74 75,74 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-12 1 1 76,69 76,69 76,69 76,69 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-13 1 1 76,88 76,88 76,88 76,88 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-16 1 1 77,15 77,15 77,15 77,15 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-17 1 1 76,95 76,95 76,95 76,95 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-18 1 1 78,31 78,31 78,31 78,31 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-19 1 1 78,75 78,75 78,75 78,75 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-20 1 1 79,06 79,06 79,06 79,06 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-23 1 1 78,99 78,99 78,99 78,99 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-24 1 1 79,08 79,08 79,08 79,08 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-25 1 1 78,63 78,63 78,63 78,63 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-26 1 1 79,87 79,87 79,87 79,87 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-27 1 1 79,64 79,64 79,64 79,64 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-30 1 1 80,09 80,09 80,09 80,09 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-05-31 1 1 80,24 80,24 80,24 80,24 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-01 1 1 81,79 81,79 81,79 81,79 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-02 1 1 81,16 81,16 81,16 81,16 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-03 1 1 81,27 81,27 81,27 81,27 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-07 1 1 81,66 81,66 81,66 81,66 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-08 1 1 81,21 81,21 81,21 81,21 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-09 1 1 81,71 81,71 81,71 81,71 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-10 1 1 82,69 82,69 82,69 82,69 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-13 1 1 84,11 84,11 84,11 84,11 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-14 1 1 82,92 82,92 82,92 82,92 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-15 1 1 82,26 82,26 82,26 82,26 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-16 1 1 83,08 83,08 83,08 83,08 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-17 1 1 81,85 81,85 81,85 81,85 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-20 1 1 82,56 82,56 82,56 82,56 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-21 1 1 82,94 82,94 82,94 82,94 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-22 1 1 83,3 83,3 83,3 83,3 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-23 1 1 84,29 84,29 84,29 84,29 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-27 1 1 82,43 82,43 82,43 82,43 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-28 1 1 83,49 83,49 83,49 83,49 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-29 1 1 84,41 84,41 84,41 84,41 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-06-30 1 1 84,01 84,01 84,01 84,01 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-01 1 1 84,88 84,88 84,88 84,88 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-04 1 1 85,18 85,18 85,18 85,18 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-05 1 1 85,05 85,05 85,05 85,05 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-06 1 1 84,83 84,83 84,83 84,83 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-07 1 1 83,66 83,66 83,66 83,66 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-08 1 1 85,37 85,37 85,37 85,37 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-11 1 1 85,71 85,71 85,71 85,71 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-12 1 1 84,59 84,59 84,59 84,59 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-13 1 1 84,92 84,92 84,92 84,92 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-14 1 1 85,58 85,58 85,58 85,58 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-15 1 1 85,89 85,89 85,89 85,89 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-18 1 1 85,74 85,74 85,74 85,74 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-19 1 1 86,64 86,64 86,64 86,64 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-20 1 1 86,59 86,59 86,59 86,59 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-21 1 1 86,02 86,02 86,02 86,02 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-22 1 1 85,97 85,97 85,97 85,97 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-25 1 1 86,61 86,61 86,61 86,61 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-26 1 1 86,65 86,65 86,65 86,65 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-27 1 1 86,64 86,64 86,64 86,64 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-28 1 1 86,57 86,57 86,57 86,57 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-07-29 1 1 86,4 86,4 86,4 86,4 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-01 1 1 85,58 85,58 85,58 85,58 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-02 1 1 85,68 85,68 85,68 85,68 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-03 1 1 85,15 85,15 85,15 85,15 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-04 1 1 84,17 84,17 84,17 84,17 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-05 1 1 83,55 83,55 83,55 83,55 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-08 1 1 83,06 83,06 83,06 83,06 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-09 1 1 83,55 83,55 83,55 83,55 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-10 1 1 83,97 83,97 83,97 83,97 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-11 1 1 82,8 82,8 82,8 82,8 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-12 1 1 82,6 82,6 82,6 82,6 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-15 1 1 82,83 82,83 82,83 82,83 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-16 1 1 83,11 83,11 83,11 83,11 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-17 1 1 83,09 83,09 83,09 83,09 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-18 1 1 83,66 83,66 83,66 83,66 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-19 1 1 84,64 84,64 84,64 84,64 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-22 1 1 84,39 84,39 84,39 84,39 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-23 1 1 83,77 83,77 83,77 83,77 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-24 1 1 83,46 83,46 83,46 83,46 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-25 1 1 82,68 82,68 82,68 82,68 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-26 1 1 81,93 81,93 81,93 81,93 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-29 1 1 82,3 82,3 82,3 82,3 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-30 1 1 82,81 82,81 82,81 82,81 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-08-31 1 1 82,48 82,48 82,48 82,48 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-01 1 1 81,67 81,67 81,67 81,67 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-02 1 1 80,93 80,93 80,93 80,93 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-05 1 1 81,18 81,18 81,18 81,18 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-06 1 1 82,17 82,17 82,17 82,17 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-07 1 1 82,74 82,74 82,74 82,74 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-08 1 1 83,15 83,15 83,15 83,15 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-09 1 1 83,06 83,06 83,06 83,06 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-12 1 1 84,11 84,11 84,11 84,11 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-13 1 1 83,98 83,98 83,98 83,98 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-14 1 1 83,74 83,74 83,74 83,74 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-15 1 1 84,02 84,02 84,02 84,02 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-16 1 1 84,38 84,38 84,38 84,38 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-19 1 1 84,77 84,77 84,77 84,77 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-20 1 1 84,85 84,85 84,85 84,85 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-21 1 1 83,25 83,25 83,25 83,25 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-22 1 1 83,29 83,29 83,29 83,29 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-23 1 1 84,26 84,26 84,26 84,26 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-26 1 1 85,09 85,09 85,09 85,09 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-27 1 1 84,77 84,77 84,77 84,77 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-28 1 1 85,17 85,17 85,17 85,17 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-29 1 1 84,31 84,31 84,31 84,31 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-09-30 1 1 84,89 84,89 84,89 84,89 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-03 1 1 85,87 85,87 85,87 85,87 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-04 1 1 85,92 85,92 85,92 85,92 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-05 1 1 84,39 84,39 84,39 84,39 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-06 1 1 82,46 82,46 82,46 82,46 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-07 1 1 82,67 82,67 82,67 82,67 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-10 1 1 82,99 82,99 82,99 82,99 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-11 1 1 83,04 83,04 83,04 83,04 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-12 1 1 82,4 82,4 82,4 82,4 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-13 1 1 83,07 83,07 83,07 83,07 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-14 1 1 82,66 82,66 82,66 82,66 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-17 1 1 83,87 83,87 83,87 83,87 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-18 1 1 84,33 84,33 84,33 84,33 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-19 1 1 83,24 83,24 83,24 83,24 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-20 1 1 84,83 84,83 84,83 84,83 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-21 1 1 84,18 84,18 84,18 84,18 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-24 1 1 85,15 85,15 85,15 85,15 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-25 1 1 84,76 84,76 84,76 84,76 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-26 1 1 85,01 85,01 85,01 85,01 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-27 1 1 83,69 83,69 83,69 83,69 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-28 1 1 83,85 83,85 83,85 83,85 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-10-31 1 1 86,54 86,54 86,54 86,54 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-01 1 1 86,71 86,71 86,71 86,71 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-02 1 1 87 87 87 87 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-03 1 1 88,07 88,07 88,07 88,07 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-04 1 1 88,4 88,4 88,4 88,4 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-07 1 1 89,63 89,63 89,63 89,63 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-08 1 1 89,17 89,17 89,17 89,17 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-09 1 1 89,89 89,89 89,89 89,89 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-10 1 1 90,07 90,07 90,07 90,07 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-11 1 1 90,87 90,87 90,87 90,87 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-14 1 1 91,21 91,21 91,21 91,21 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-15 1 1 91,96 91,96 91,96 91,96 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-16 1 1 91,64 91,64 91,64 91,64 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-17 1 1 91,47 91,47 91,47 91,47 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-18 1 1 92,37 92,37 92,37 92,37 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-21 1 1 92,13 92,13 92,13 92,13 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-22 1 1 92,29 92,29 92,29 92,29 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-23 1 1 92,12 92,12 92,12 92,12 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-24 1 1 92,3 92,3 92,3 92,3 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-25 1 1 92,47 92,47 92,47 92,47 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-28 1 1 91,62 91,62 91,62 91,62 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-29 1 1 92,36 92,36 92,36 92,36 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-11-30 1 1 92,09 92,09 92,09 92,09 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-01 1 1 92,55 92,55 92,55 92,55 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-02 1 1 92,3 92,3 92,3 92,3 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-05 1 1 91,4 91,4 91,4 91,4 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-06 1 1 91,53 91,53 91,53 91,53 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-07 1 1 91,47 91,47 91,47 91,47 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-08 1 1 91,12 91,12 91,12 91,12 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-12 1 1 90,47 90,47 90,47 90,47 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-13 1 1 90,4 90,4 90,4 90,4 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-14 1 1 90,21 90,21 90,21 90,21 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-15 1 1 90,99 90,99 90,99 90,99 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-16 1 1 90,91 90,91 90,91 90,91 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-19 1 1 90,27 90,27 90,27 90,27 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-20 1 1 90,48 90,48 90,48 90,48 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-21 1 1 91,63 91,63 91,63 91,63 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-22 1 1 91,4 91,4 91,4 91,4 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-23 1 1 91,52 91,52 91,52 91,52 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-27 1 1 91,83 91,83 91,83 91,83 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-28 1 1 90,08 90,08 90,08 90,08 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-29 1 1 90,81 90,81 90,81 90,81 678128 E. Öhman J:or Fonder AB Öhman Etisk Index USA SEK 2005-12-30 1 1 90,2 90,2 90,2 90,2 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-03 1 1 68,13 68,13 68,13 68,13 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-04 1 1 68,57 68,57 68,57 68,57 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-05 1 1 68,07 68,07 68,07 68,07 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-07 1 1 69,04 69,04 69,04 69,04 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-10 1 1 69,1 69,1 69,1 69,1 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-11 1 1 68,41 68,41 68,41 68,41 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-12 1 1 68,05 68,05 68,05 68,05 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-13 1 1 68,3 68,3 68,3 68,3 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-14 1 1 68,67 68,67 68,67 68,67 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-17 1 1 68,9 68,9 68,9 68,9 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-18 1 1 68,82 68,82 68,82 68,82 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-19 1 1 68,82 68,82 68,82 68,82 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-20 1 1 68,44 68,44 68,44 68,44 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-21 1 1 68,46 68,46 68,46 68,46 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-24 1 1 68,64 68,64 68,64 68,64 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-25 1 1 69,1 69,1 69,1 69,1 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-26 1 1 69,04 69,04 69,04 69,04 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-27 1 1 69,52 69,52 69,52 69,52 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-28 1 1 69,18 69,18 69,18 69,18 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-01-31 1 1 69,77 69,77 69,77 69,77 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-01 1 1 70,11 70,11 70,11 70,11 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-02 1 1 70,43 70,43 70,43 70,43 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-03 1 1 70,29 70,29 70,29 70,29 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-04 1 1 71,07 71,07 71,07 71,07 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-07 1 1 71,39 71,39 71,39 71,39 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-08 1 1 71,46 71,46 71,46 71,46 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-09 1 1 71,28 71,28 71,28 71,28 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-10 1 1 71,54 71,54 71,54 71,54 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-11 1 1 72,21 72,21 72,21 72,21 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-14 1 1 72,14 72,14 72,14 72,14 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-15 1 1 72,41 72,41 72,41 72,41 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-16 1 1 71,93 71,93 71,93 71,93 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-17 1 1 72,1 72,1 72,1 72,1 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-18 1 1 72,19 72,19 72,19 72,19 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-21 1 1 72,28 72,28 72,28 72,28 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-22 1 1 71,72 71,72 71,72 71,72 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-23 1 1 71,34 71,34 71,34 71,34 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-24 1 1 71,22 71,22 71,22 71,22 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-25 1 1 71,79 71,79 71,79 71,79 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-02-28 1 1 71,48 71,48 71,48 71,48 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-01 1 1 71,88 71,88 71,88 71,88 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-02 1 1 72,2 72,2 72,2 72,2 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-03 1 1 72,02 72,02 72,02 72,02 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-04 1 1 72,44 72,44 72,44 72,44 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-07 1 1 72,39 72,39 72,39 72,39 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-08 1 1 71,96 71,96 71,96 71,96 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-09 1 1 71,78 71,78 71,78 71,78 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-10 1 1 71,19 71,19 71,19 71,19 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-11 1 1 71,37 71,37 71,37 71,37 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-14 1 1 71,58 71,58 71,58 71,58 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-15 1 1 72,13 72,13 72,13 72,13 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-16 1 1 71,04 71,04 71,04 71,04 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-17 1 1 71,32 71,32 71,32 71,32 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-18 1 1 71,47 71,47 71,47 71,47 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-21 1 1 71,44 71,44 71,44 71,44 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-22 1 1 71,5 71,5 71,5 71,5 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-23 1 1 71,28 71,28 71,28 71,28 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-24 1 1 71,38 71,38 71,38 71,38 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-29 1 1 71,87 71,87 71,87 71,87 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-30 1 1 71,69 71,69 71,69 71,69 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-03-31 1 1 71,91 71,91 71,91 71,91 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-01 1 1 72,08 72,08 72,08 72,08 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-04 1 1 71,78 71,78 71,78 71,78 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-05 1 1 72,26 72,26 72,26 72,26 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-06 1 1 72,33 72,33 72,33 72,33 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-07 1 1 72,6 72,6 72,6 72,6 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-08 1 1 72,9 72,9 72,9 72,9 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-11 1 1 72,69 72,69 72,69 72,69 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-12 1 1 72,43 72,43 72,43 72,43 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-13 1 1 72,78 72,78 72,78 72,78 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-14 1 1 72,98 72,98 72,98 72,98 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-15 1 1 71,97 71,97 71,97 71,97 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-18 1 1 70,79 70,79 70,79 70,79 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-19 1 1 71,24 71,24 71,24 71,24 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-20 1 1 70,68 70,68 70,68 70,68 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-21 1 1 70,68 70,68 70,68 70,68 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-22 1 1 71,26 71,26 71,26 71,26 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-25 1 1 71,29 71,29 71,29 71,29 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-26 1 1 71,18 71,18 71,18 71,18 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-27 1 1 70,48 70,48 70,48 70,48 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-28 1 1 70,59 70,59 70,59 70,59 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-04-29 1 1 71,02 71,02 71,02 71,02 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-02 1 1 71,35 71,35 71,35 71,35 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-03 1 1 71,56 71,56 71,56 71,56 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-04 1 1 71,56 71,56 71,56 71,56 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-06 1 1 72,69 72,69 72,69 72,69 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-09 1 1 72,34 72,34 72,34 72,34 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-10 1 1 71,95 71,95 71,95 71,95 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-11 1 1 71,97 71,97 71,97 71,97 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-12 1 1 72,22 72,22 72,22 72,22 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-13 1 1 72,22 72,22 72,22 72,22 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-16 1 1 72,17 72,17 72,17 72,17 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-17 1 1 72,1 72,1 72,1 72,1 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-18 1 1 72,91 72,91 72,91 72,91 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-19 1 1 73,39 73,39 73,39 73,39 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-20 1 1 73,31 73,31 73,31 73,31 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-23 1 1 73,49 73,49 73,49 73,49 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-24 1 1 73,52 73,52 73,52 73,52 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-25 1 1 73,57 73,57 73,57 73,57 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-26 1 1 74,21 74,21 74,21 74,21 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-27 1 1 74,19 74,19 74,19 74,19 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-30 1 1 74,32 74,32 74,32 74,32 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-05-31 1 1 74,17 74,17 74,17 74,17 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-01 1 1 75,14 75,14 75,14 75,14 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-02 1 1 75,23 75,23 75,23 75,23 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-03 1 1 75,05 75,05 75,05 75,05 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-07 1 1 75,71 75,71 75,71 75,71 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-08 1 1 75,95 75,95 75,95 75,95 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-09 1 1 76,04 76,04 76,04 76,04 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-10 1 1 76,78 76,78 76,78 76,78 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-13 1 1 77,38 77,38 77,38 77,38 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-14 1 1 74,01 74,01 74,01 74,01 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-15 1 1 73,73 73,73 73,73 73,73 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-16 1 1 74,12 74,12 74,12 74,12 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-17 1 1 73,82 73,82 73,82 73,82 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-20 1 1 73,92 73,92 73,92 73,92 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-21 1 1 74,35 74,35 74,35 74,35 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-22 1 1 74,93 74,93 74,93 74,93 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-23 1 1 75,63 75,63 75,63 75,63 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-27 1 1 74,69 74,69 74,69 74,69 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-28 1 1 75,41 75,41 75,41 75,41 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-29 1 1 76,19 76,19 76,19 76,19 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-06-30 1 1 75,91 75,91 75,91 75,91 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-01 1 1 76,75 76,75 76,75 76,75 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-04 1 1 76,99 76,99 76,99 76,99 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-05 1 1 76,41 76,41 76,41 76,41 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-06 1 1 76,68 76,68 76,68 76,68 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-07 1 1 75,23 75,23 75,23 75,23 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-08 1 1 76,76 76,76 76,76 76,76 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-11 1 1 77,56 77,56 77,56 77,56 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-12 1 1 77,07 77,07 77,07 77,07 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-13 1 1 77,03 77,03 77,03 77,03 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-14 1 1 77,62 77,62 77,62 77,62 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-15 1 1 77,41 77,41 77,41 77,41 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-18 1 1 77,25 77,25 77,25 77,25 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-19 1 1 77,44 77,44 77,44 77,44 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-20 1 1 77,55 77,55 77,55 77,55 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-21 1 1 77,77 77,77 77,77 77,77 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-22 1 1 77,77 77,77 77,77 77,77 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-25 1 1 77,94 77,94 77,94 77,94 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-26 1 1 78,25 78,25 78,25 78,25 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-27 1 1 78,24 78,24 78,24 78,24 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-28 1 1 78,4 78,4 78,4 78,4 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-07-29 1 1 78,57 78,57 78,57 78,57 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-01 1 1 78,55 78,55 78,55 78,55 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-02 1 1 78,86 78,86 78,86 78,86 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-03 1 1 78,99 78,99 78,99 78,99 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-04 1 1 77,98 77,98 77,98 77,98 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-05 1 1 77,73 77,73 77,73 77,73 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-08 1 1 77,95 77,95 77,95 77,95 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-09 1 1 78,48 78,48 78,48 78,48 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-10 1 1 79,23 79,23 79,23 79,23 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-11 1 1 78,79 78,79 78,79 78,79 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-12 1 1 78,61 78,61 78,61 78,61 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-15 1 1 78,53 78,53 78,53 78,53 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-16 1 1 78,33 78,33 78,33 78,33 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-17 1 1 78,1 78,1 78,1 78,1 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-18 1 1 77,91 77,91 77,91 77,91 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-19 1 1 78,97 78,97 78,97 78,97 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-22 1 1 79,19 79,19 79,19 79,19 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-23 1 1 78,55 78,55 78,55 78,55 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-24 1 1 77,97 77,97 77,97 77,97 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-25 1 1 77,56 77,56 77,56 77,56 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-26 1 1 76,8 76,8 76,8 76,8 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-29 1 1 77,13 77,13 77,13 77,13 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-30 1 1 77,19 77,19 77,19 77,19 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-08-31 1 1 77,78 77,78 77,78 77,78 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-01 1 1 78,09 78,09 78,09 78,09 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-02 1 1 77,69 77,69 77,69 77,69 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-05 1 1 78,37 78,37 78,37 78,37 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-06 1 1 79,25 79,25 79,25 79,25 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-07 1 1 79,58 79,58 79,58 79,58 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-08 1 1 79,6 79,6 79,6 79,6 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-09 1 1 79,83 79,83 79,83 79,83 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-12 1 1 79,77 79,77 79,77 79,77 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-13 1 1 79,44 79,44 79,44 79,44 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-14 1 1 79,58 79,58 79,58 79,58 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-15 1 1 79,79 79,79 79,79 79,79 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-16 1 1 80,44 80,44 80,44 80,44 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-19 1 1 80,45 80,45 80,45 80,45 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-20 1 1 80,46 80,46 80,46 80,46 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-21 1 1 79,79 79,79 79,79 79,79 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-22 1 1 79,56 79,56 79,56 79,56 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-23 1 1 79,86 79,86 79,86 79,86 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-26 1 1 80,98 80,98 80,98 80,98 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-27 1 1 80,87 80,87 80,87 80,87 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-28 1 1 81,7 81,7 81,7 81,7 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-29 1 1 81,02 81,02 81,02 81,02 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-09-30 1 1 80,94 80,94 80,94 80,94 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-03 1 1 81,78 81,78 81,78 81,78 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-04 1 1 81,96 81,96 81,96 81,96 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-05 1 1 81,33 81,33 81,33 81,33 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-06 1 1 79,96 79,96 79,96 79,96 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-07 1 1 79,87 79,87 79,87 79,87 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-10 1 1 80,17 80,17 80,17 80,17 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-11 1 1 80,27 80,27 80,27 80,27 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-12 1 1 79,86 79,86 79,86 79,86 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-13 1 1 79,6 79,6 79,6 79,6 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-14 1 1 80,12 80,12 80,12 80,12 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-17 1 1 80,3 80,3 80,3 80,3 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-18 1 1 79,99 79,99 79,99 79,99 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-19 1 1 79,16 79,16 79,16 79,16 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-20 1 1 79,54 79,54 79,54 79,54 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-21 1 1 79,05 79,05 79,05 79,05 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-24 1 1 80,25 80,25 80,25 80,25 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-25 1 1 79,82 79,82 79,82 79,82 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-26 1 1 80,01 80,01 80,01 80,01 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-27 1 1 79,14 79,14 79,14 79,14 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-28 1 1 79,26 79,26 79,26 79,26 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-10-31 1 1 81,36 81,36 81,36 81,36 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-01 1 1 81,83 81,83 81,83 81,83 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-02 1 1 82,29 82,29 82,29 82,29 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-03 1 1 83,47 83,47 83,47 83,47 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-04 1 1 83,26 83,26 83,26 83,26 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-07 1 1 83,65 83,65 83,65 83,65 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-08 1 1 83,05 83,05 83,05 83,05 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-09 1 1 83,52 83,52 83,52 83,52 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-10 1 1 83,74 83,74 83,74 83,74 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-11 1 1 83,87 83,87 83,87 83,87 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-14 1 1 84,03 84,03 84,03 84,03 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-15 1 1 84,21 84,21 84,21 84,21 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-16 1 1 83,4 83,4 83,4 83,4 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-17 1 1 83,63 83,63 83,63 83,63 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-18 1 1 84,08 84,08 84,08 84,08 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-21 1 1 84,05 84,05 84,05 84,05 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-22 1 1 83,94 83,94 83,94 83,94 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-23 1 1 83,98 83,98 83,98 83,98 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-24 1 1 83,65 83,65 83,65 83,65 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-25 1 1 83,71 83,71 83,71 83,71 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-28 1 1 83,17 83,17 83,17 83,17 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-29 1 1 83,52 83,52 83,52 83,52 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-11-30 1 1 83,44 83,44 83,44 83,44 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-01 1 1 84,44 84,44 84,44 84,44 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-02 1 1 84,35 84,35 84,35 84,35 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-05 1 1 84,09 84,09 84,09 84,09 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-06 1 1 84,2 84,2 84,2 84,2 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-07 1 1 84,13 84,13 84,13 84,13 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-08 1 1 84,4 84,4 84,4 84,4 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-12 1 1 84,71 84,71 84,71 84,71 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-13 1 1 84,77 84,77 84,77 84,77 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-14 1 1 84,53 84,53 84,53 84,53 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-15 1 1 84,36 84,36 84,36 84,36 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-16 1 1 84,92 84,92 84,92 84,92 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-19 1 1 84,41 84,41 84,41 84,41 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-20 1 1 84,67 84,67 84,67 84,67 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-21 1 1 85,07 85,07 85,07 85,07 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-22 1 1 85,25 85,25 85,25 85,25 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-23 1 1 85,25 85,25 85,25 85,25 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-27 1 1 85,58 85,58 85,58 85,58 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-28 1 1 84,89 84,89 84,89 84,89 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-29 1 1 85,43 85,43 85,43 85,43 713958 E. Öhman J:or Fonder AB Öhman Europafond SEK 2005-12-30 1 1 84,64 84,64 84,64 84,64 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-03 1 1 106,81 106,81 106,81 106,81 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-04 1 1 106,82 106,82 106,82 106,82 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-05 1 1 106,73 106,73 106,73 106,73 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-07 1 1 106,93 106,93 106,93 106,93 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-10 1 1 107 107 107 107 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-11 1 1 107,02 107,02 107,02 107,02 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-12 1 1 107,02 107,02 107,02 107,02 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-13 1 1 107,1 107,1 107,1 107,1 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-14 1 1 107,12 107,12 107,12 107,12 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-17 1 1 107,16 107,16 107,16 107,16 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-18 1 1 107,13 107,13 107,13 107,13 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-19 1 1 107,24 107,24 107,24 107,24 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-20 1 1 107,16 107,16 107,16 107,16 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-21 1 1 107,22 107,22 107,22 107,22 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-24 1 1 107,35 107,35 107,35 107,35 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-25 1 1 107,33 107,33 107,33 107,33 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-26 1 1 107,32 107,32 107,32 107,32 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-27 1 1 107,28 107,28 107,28 107,28 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-28 1 1 107,38 107,38 107,38 107,38 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-01-31 1 1 107,42 107,42 107,42 107,42 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-01 1 1 107,49 107,49 107,49 107,49 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-02 1 1 107,48 107,48 107,48 107,48 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-03 1 1 107,48 107,48 107,48 107,48 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-04 1 1 107,56 107,56 107,56 107,56 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-07 1 1 107,6 107,6 107,6 107,6 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-08 1 1 107,57 107,57 107,57 107,57 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-09 1 1 107,66 107,66 107,66 107,66 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-10 1 1 107,78 107,78 107,78 107,78 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-11 1 1 107,76 107,76 107,76 107,76 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-14 1 1 107,64 107,64 107,64 107,64 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-15 1 1 107,68 107,68 107,68 107,68 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-16 1 1 107,71 107,71 107,71 107,71 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-17 1 1 107,66 107,66 107,66 107,66 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-18 1 1 107,49 107,49 107,49 107,49 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-21 1 1 107,43 107,43 107,43 107,43 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-22 1 1 107,36 107,36 107,36 107,36 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-23 1 1 107,5 107,5 107,5 107,5 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-24 1 1 107,43 107,43 107,43 107,43 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-25 1 1 107,43 107,43 107,43 107,43 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-02-28 1 1 107,51 107,51 107,51 107,51 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-01 1 1 107,5 107,5 107,5 107,5 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-02 1 1 107,44 107,44 107,44 107,44 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-03 1 1 107,52 107,52 107,52 107,52 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-04 1 1 107,63 107,63 107,63 107,63 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-07 1 1 107,69 107,69 107,69 107,69 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-08 1 1 107,77 107,77 107,77 107,77 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-09 1 1 107,7 107,7 107,7 107,7 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-10 1 1 107,71 107,71 107,71 107,71 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-11 1 1 107,67 107,67 107,67 107,67 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-14 1 1 107,68 107,68 107,68 107,68 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-15 1 1 107,74 107,74 107,74 107,74 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-16 1 1 107,68 107,68 107,68 107,68 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-17 1 1 107,7 107,7 107,7 107,7 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-18 1 1 107,66 107,66 107,66 107,66 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-21 1 1 107,63 107,63 107,63 107,63 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-22 1 1 107,71 107,71 107,71 107,71 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-23 1 1 107,66 107,66 107,66 107,66 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-24 1 1 107,66 107,66 107,66 107,66 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-29 1 1 107,74 107,74 107,74 107,74 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-30 1 1 107,74 107,74 107,74 107,74 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-03-31 1 1 107,93 107,93 107,93 107,93 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-01 1 1 108,02 108,02 108,02 108,02 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-04 1 1 108,01 108,01 108,01 108,01 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-05 1 1 108,01 108,01 108,01 108,01 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-06 1 1 108,09 108,09 108,09 108,09 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-07 1 1 108,16 108,16 108,16 108,16 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-08 1 1 108,18 108,18 108,18 108,18 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-11 1 1 108,23 108,23 108,23 108,23 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-12 1 1 108,17 108,17 108,17 108,17 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-13 1 1 108,24 108,24 108,24 108,24 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-14 1 1 108,27 108,27 108,27 108,27 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-15 1 1 108,34 108,34 108,34 108,34 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-18 1 1 108,41 108,41 108,41 108,41 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-19 1 1 108,44 108,44 108,44 108,44 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-20 1 1 108,47 108,47 108,47 108,47 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-21 1 1 108,48 108,48 108,48 108,48 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-22 1 1 108,55 108,55 108,55 108,55 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-25 1 1 108,58 108,58 108,58 108,58 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-26 1 1 108,68 108,68 108,68 108,68 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-27 1 1 108,76 108,76 108,76 108,76 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-28 1 1 108,81 108,81 108,81 108,81 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-04-29 1 1 108,89 108,89 108,89 108,89 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-02 1 1 108,88 108,88 108,88 108,88 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-03 1 1 108,92 108,92 108,92 108,92 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-04 1 1 108,87 108,87 108,87 108,87 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-06 1 1 108,75 108,75 108,75 108,75 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-09 1 1 108,72 108,72 108,72 108,72 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-10 1 1 108,83 108,83 108,83 108,83 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-11 1 1 108,87 108,87 108,87 108,87 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-12 1 1 108,81 108,81 108,81 108,81 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-13 1 1 108,74 108,74 108,74 108,74 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-16 1 1 108,76 108,76 108,76 108,76 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-17 1 1 108,62 108,62 108,62 108,62 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-18 1 1 108,69 108,69 108,69 108,69 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-19 1 1 108,62 108,62 108,62 108,62 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-20 1 1 108,58 108,58 108,58 108,58 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-23 1 1 108,62 108,62 108,62 108,62 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-24 1 1 108,78 108,78 108,78 108,78 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-25 1 1 108,88 108,88 108,88 108,88 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-26 1 1 108,89 108,89 108,89 108,89 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-27 1 1 108,92 108,92 108,92 108,92 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-30 1 1 108,98 108,98 108,98 108,98 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-05-31 1 1 109,07 109,07 109,07 109,07 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-01 1 1 109,2 109,2 109,2 109,2 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-02 1 1 109,23 109,23 109,23 109,23 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-03 1 1 109,53 109,53 109,53 109,53 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-07 1 1 109,47 109,47 109,47 109,47 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-08 1 1 109,71 109,71 109,71 109,71 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-09 1 1 109,72 109,72 109,72 109,72 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-10 1 1 109,8 109,8 109,8 109,8 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-13 1 1 109,82 109,82 109,82 109,82 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-14 1 1 105,65 105,65 105,65 105,65 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-15 1 1 105,55 105,55 105,55 105,55 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-16 1 1 105,65 105,65 105,65 105,65 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-17 1 1 105,72 105,72 105,72 105,72 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-20 1 1 105,7 105,7 105,7 105,7 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-21 1 1 105,91 105,91 105,91 105,91 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-22 1 1 106,03 106,03 106,03 106,03 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-23 1 1 106,02 106,02 106,02 106,02 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-27 1 1 106,04 106,04 106,04 106,04 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-28 1 1 106,03 106,03 106,03 106,03 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-29 1 1 106,06 106,06 106,06 106,06 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-06-30 1 1 106,21 106,21 106,21 106,21 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-01 1 1 106,22 106,22 106,22 106,22 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-04 1 1 106,15 106,15 106,15 106,15 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-05 1 1 106,08 106,08 106,08 106,08 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-06 1 1 106,17 106,17 106,17 106,17 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-07 1 1 106,26 106,26 106,26 106,26 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-08 1 1 106,34 106,34 106,34 106,34 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-11 1 1 106,3 106,3 106,3 106,3 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-12 1 1 106,27 106,27 106,27 106,27 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-13 1 1 106,25 106,25 106,25 106,25 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-14 1 1 106,29 106,29 106,29 106,29 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-15 1 1 106,32 106,32 106,32 106,32 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-18 1 1 106,35 106,35 106,35 106,35 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-19 1 1 106,35 106,35 106,35 106,35 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-20 1 1 106,37 106,37 106,37 106,37 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-21 1 1 106,39 106,39 106,39 106,39 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-22 1 1 106,52 106,52 106,52 106,52 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-25 1 1 106,58 106,58 106,58 106,58 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-26 1 1 106,56 106,56 106,56 106,56 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-27 1 1 106,6 106,6 106,6 106,6 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-28 1 1 106,54 106,54 106,54 106,54 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-07-29 1 1 106,55 106,55 106,55 106,55 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-01 1 1 106,44 106,44 106,44 106,44 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-02 1 1 106,4 106,4 106,4 106,4 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-03 1 1 106,36 106,36 106,36 106,36 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-04 1 1 106,41 106,41 106,41 106,41 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-05 1 1 106,33 106,33 106,33 106,33 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-08 1 1 106,42 106,42 106,42 106,42 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-09 1 1 106,44 106,44 106,44 106,44 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-10 1 1 106,5 106,5 106,5 106,5 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-11 1 1 106,52 106,52 106,52 106,52 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-12 1 1 106,48 106,48 106,48 106,48 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-15 1 1 106,51 106,51 106,51 106,51 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-16 1 1 106,54 106,54 106,54 106,54 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-17 1 1 106,53 106,53 106,53 106,53 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-18 1 1 106,59 106,59 106,59 106,59 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-19 1 1 106,59 106,59 106,59 106,59 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-22 1 1 106,72 106,72 106,72 106,72 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-23 1 1 106,79 106,79 106,79 106,79 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-24 1 1 106,8 106,8 106,8 106,8 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-25 1 1 106,82 106,82 106,82 106,82 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-26 1 1 106,89 106,89 106,89 106,89 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-29 1 1 106,85 106,85 106,85 106,85 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-30 1 1 106,86 106,86 106,86 106,86 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-08-31 1 1 106,98 106,98 106,98 106,98 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-01 1 1 107,02 107,02 107,02 107,02 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-02 1 1 107,16 107,16 107,16 107,16 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-05 1 1 107,11 107,11 107,11 107,11 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-06 1 1 107,08 107,08 107,08 107,08 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-07 1 1 107,08 107,08 107,08 107,08 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-08 1 1 107,12 107,12 107,12 107,12 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-09 1 1 107,13 107,13 107,13 107,13 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-12 1 1 107,04 107,04 107,04 107,04 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-13 1 1 107,05 107,05 107,05 107,05 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-14 1 1 107,04 107,04 107,04 107,04 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-15 1 1 107,05 107,05 107,05 107,05 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-16 1 1 107,01 107,01 107,01 107,01 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-19 1 1 107,02 107,02 107,02 107,02 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-20 1 1 107,06 107,06 107,06 107,06 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-21 1 1 107,17 107,17 107,17 107,17 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-22 1 1 107,12 107,12 107,12 107,12 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-23 1 1 107,05 107,05 107,05 107,05 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-26 1 1 107,04 107,04 107,04 107,04 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-27 1 1 107,05 107,05 107,05 107,05 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-28 1 1 107 107 107 107 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-29 1 1 106,93 106,93 106,93 106,93 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-09-30 1 1 107,06 107,06 107,06 107,06 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-03 1 1 106,94 106,94 106,94 106,94 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-04 1 1 106,95 106,95 106,95 106,95 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-05 1 1 106,97 106,97 106,97 106,97 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-06 1 1 106,97 106,97 106,97 106,97 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-07 1 1 106,88 106,88 106,88 106,88 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-10 1 1 106,89 106,89 106,89 106,89 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-11 1 1 106,88 106,88 106,88 106,88 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-12 1 1 106,92 106,92 106,92 106,92 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-13 1 1 106,94 106,94 106,94 106,94 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-14 1 1 106,91 106,91 106,91 106,91 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-17 1 1 106,89 106,89 106,89 106,89 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-18 1 1 106,9 106,9 106,9 106,9 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-19 1 1 106,99 106,99 106,99 106,99 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-20 1 1 107,01 107,01 107,01 107,01 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-21 1 1 107,02 107,02 107,02 107,02 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-24 1 1 107,06 107,06 107,06 107,06 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-25 1 1 107,02 107,02 107,02 107,02 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-26 1 1 106,86 106,86 106,86 106,86 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-27 1 1 106,78 106,78 106,78 106,78 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-28 1 1 106,84 106,84 106,84 106,84 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-10-31 1 1 106,86 106,86 106,86 106,86 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-01 1 1 106,85 106,85 106,85 106,85 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-02 1 1 106,8 106,8 106,8 106,8 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-03 1 1 106,78 106,78 106,78 106,78 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-04 1 1 106,73 106,73 106,73 106,73 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-07 1 1 106,69 106,69 106,69 106,69 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-08 1 1 106,76 106,76 106,76 106,76 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-09 1 1 106,73 106,73 106,73 106,73 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-10 1 1 106,71 106,71 106,71 106,71 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-11 1 1 106,74 106,74 106,74 106,74 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-14 1 1 106,78 106,78 106,78 106,78 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-15 1 1 106,77 106,77 106,77 106,77 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-16 1 1 106,8 106,8 106,8 106,8 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-17 1 1 106,73 106,73 106,73 106,73 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-18 1 1 106,64 106,64 106,64 106,64 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-21 1 1 106,73 106,73 106,73 106,73 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-22 1 1 106,64 106,64 106,64 106,64 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-23 1 1 106,68 106,68 106,68 106,68 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-24 1 1 106,77 106,77 106,77 106,77 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-25 1 1 106,74 106,74 106,74 106,74 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-28 1 1 106,77 106,77 106,77 106,77 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-29 1 1 106,77 106,77 106,77 106,77 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-11-30 1 1 106,77 106,77 106,77 106,77 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-01 1 1 106,78 106,78 106,78 106,78 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-02 1 1 106,81 106,81 106,81 106,81 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-05 1 1 106,75 106,75 106,75 106,75 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-06 1 1 106,76 106,76 106,76 106,76 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-07 1 1 106,86 106,86 106,86 106,86 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-08 1 1 106,86 106,86 106,86 106,86 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-12 1 1 106,92 106,92 106,92 106,92 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-13 1 1 106,9 106,9 106,9 106,9 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-14 1 1 106,96 106,96 106,96 106,96 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-15 1 1 107,01 107,01 107,01 107,01 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-16 1 1 107 107 107 107 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-19 1 1 107,09 107,09 107,09 107,09 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-20 1 1 107,11 107,11 107,11 107,11 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-21 1 1 107,1 107,1 107,1 107,1 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-22 1 1 107,06 107,06 107,06 107,06 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-23 1 1 107,06 107,06 107,06 107,06 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-27 1 1 107,19 107,19 107,19 107,19 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-28 1 1 107,2 107,2 107,2 107,2 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-29 1 1 107,2 107,2 107,2 107,2 104786 E. Öhman J:or Fonder AB Öhman Företagsobligationsfond SEK 2005-12-30 1 1 107,29 107,29 107,29 107,29 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-03 1 1 472,41 472,41 472,41 472,41 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-04 1 1 476,52 476,52 476,52 476,52 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-05 1 1 472,56 472,56 472,56 472,56 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-07 1 1 474,58 474,58 474,58 474,58 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-10 1 1 478,61 478,61 478,61 478,61 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-11 1 1 474,01 474,01 474,01 474,01 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-12 1 1 467,35 467,35 467,35 467,35 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-13 1 1 468,95 468,95 468,95 468,95 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-14 1 1 471,28 471,28 471,28 471,28 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-17 1 1 473,28 473,28 473,28 473,28 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-18 1 1 472,83 472,83 472,83 472,83 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-19 1 1 472,63 472,63 472,63 472,63 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-20 1 1 469,91 469,91 469,91 469,91 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-21 1 1 468,05 468,05 468,05 468,05 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-24 1 1 465,64 465,64 465,64 465,64 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-25 1 1 471,39 471,39 471,39 471,39 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-26 1 1 470,88 470,88 470,88 470,88 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-27 1 1 473,18 473,18 473,18 473,18 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-28 1 1 468,98 468,98 468,98 468,98 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-01-31 1 1 472,41 472,41 472,41 472,41 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-01 1 1 474,03 474,03 474,03 474,03 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-02 1 1 475,29 475,29 475,29 475,29 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-03 1 1 474,42 474,42 474,42 474,42 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-04 1 1 478,99 478,99 478,99 478,99 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-07 1 1 483,69 483,69 483,69 483,69 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-08 1 1 484,9 484,9 484,9 484,9 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-09 1 1 485,86 485,86 485,86 485,86 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-10 1 1 479,83 479,83 479,83 479,83 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-11 1 1 485,87 485,87 485,87 485,87 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-14 1 1 484,3 484,3 484,3 484,3 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-15 1 1 486,61 486,61 486,61 486,61 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-16 1 1 482,81 482,81 482,81 482,81 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-17 1 1 481,83 481,83 481,83 481,83 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-18 1 1 481 481 481 481 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-21 1 1 486,95 486,95 486,95 486,95 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-22 1 1 484,33 484,33 484,33 484,33 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-23 1 1 481,75 481,75 481,75 481,75 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-24 1 1 481,28 481,28 481,28 481,28 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-25 1 1 485,48 485,48 485,48 485,48 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-02-28 1 1 485,18 485,18 485,18 485,18 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-01 1 1 487,24 487,24 487,24 487,24 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-02 1 1 491,31 491,31 491,31 491,31 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-03 1 1 490,14 490,14 490,14 490,14 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-04 1 1 492,2 492,2 492,2 492,2 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-07 1 1 491,97 491,97 491,97 491,97 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-08 1 1 487,53 487,53 487,53 487,53 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-09 1 1 486,5 486,5 486,5 486,5 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-10 1 1 483,6 483,6 483,6 483,6 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-11 1 1 484,59 484,59 484,59 484,59 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-14 1 1 485,68 485,68 485,68 485,68 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-15 1 1 490,08 490,08 490,08 490,08 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-16 1 1 482,46 482,46 482,46 482,46 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-17 1 1 483,07 483,07 483,07 483,07 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-18 1 1 482,74 482,74 482,74 482,74 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-21 1 1 482,52 482,52 482,52 482,52 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-22 1 1 484,58 484,58 484,58 484,58 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-23 1 1 487,48 487,48 487,48 487,48 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-24 1 1 489,56 489,56 489,56 489,56 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-29 1 1 490,17 490,17 490,17 490,17 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-30 1 1 488,77 488,77 488,77 488,77 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-03-31 1 1 489,66 489,66 489,66 489,66 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-01 1 1 493,49 493,49 493,49 493,49 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-04 1 1 491,08 491,08 491,08 491,08 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-05 1 1 497,89 497,89 497,89 497,89 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-06 1 1 501,95 501,95 501,95 501,95 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-07 1 1 501,37 501,37 501,37 501,37 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-08 1 1 503,88 503,88 503,88 503,88 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-11 1 1 503,65 503,65 503,65 503,65 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-12 1 1 501,45 501,45 501,45 501,45 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-13 1 1 505,42 505,42 505,42 505,42 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-14 1 1 511,25 511,25 511,25 511,25 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-15 1 1 510,02 510,02 510,02 510,02 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-18 1 1 502,26 502,26 502,26 502,26 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-19 1 1 504,28 504,28 504,28 504,28 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-20 1 1 503,08 503,08 503,08 503,08 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-21 1 1 502,51 502,51 502,51 502,51 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-22 1 1 507,53 507,53 507,53 507,53 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-25 1 1 506,66 506,66 506,66 506,66 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-26 1 1 507,05 507,05 507,05 507,05 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-27 1 1 499,89 499,89 499,89 499,89 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-28 1 1 500,91 500,91 500,91 500,91 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-04-29 1 1 502,34 502,34 502,34 502,34 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-02 1 1 506,19 506,19 506,19 506,19 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-03 1 1 507,95 507,95 507,95 507,95 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-04 1 1 508,04 508,04 508,04 508,04 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-06 1 1 515,67 515,67 515,67 515,67 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-09 1 1 514,03 514,03 514,03 514,03 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-10 1 1 512,33 512,33 512,33 512,33 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-11 1 1 512,58 512,58 512,58 512,58 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-12 1 1 517,7 517,7 517,7 517,7 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-13 1 1 519,3 519,3 519,3 519,3 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-16 1 1 520,5 520,5 520,5 520,5 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-17 1 1 521 521 521 521 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-18 1 1 524,26 524,26 524,26 524,26 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-19 1 1 524,73 524,73 524,73 524,73 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-20 1 1 525,53 525,53 525,53 525,53 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-23 1 1 524,06 524,06 524,06 524,06 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-24 1 1 527,16 527,16 527,16 527,16 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-25 1 1 526,76 526,76 526,76 526,76 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-26 1 1 531,99 531,99 531,99 531,99 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-27 1 1 531,63 531,63 531,63 531,63 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-30 1 1 532,79 532,79 532,79 532,79 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-05-31 1 1 533,42 533,42 533,42 533,42 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-01 1 1 537,12 537,12 537,12 537,12 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-02 1 1 534,53 534,53 534,53 534,53 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-03 1 1 532,26 532,26 532,26 532,26 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-07 1 1 534,72 534,72 534,72 534,72 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-08 1 1 535,47 535,47 535,47 535,47 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-09 1 1 536,05 536,05 536,05 536,05 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-10 1 1 539,72 539,72 539,72 539,72 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-13 1 1 543,74 543,74 543,74 543,74 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-14 1 1 537,12 537,12 537,12 537,12 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-15 1 1 534,34 534,34 534,34 534,34 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-16 1 1 535,62 535,62 535,62 535,62 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-17 1 1 533,92 533,92 533,92 533,92 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-20 1 1 536,94 536,94 536,94 536,94 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-21 1 1 540,82 540,82 540,82 540,82 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-22 1 1 541,82 541,82 541,82 541,82 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-23 1 1 545,43 545,43 545,43 545,43 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-27 1 1 537,5 537,5 537,5 537,5 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-28 1 1 539,89 539,89 539,89 539,89 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-29 1 1 544,63 544,63 544,63 544,63 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-06-30 1 1 542,6 542,6 542,6 542,6 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-01 1 1 546,35 546,35 546,35 546,35 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-04 1 1 548,01 548,01 548,01 548,01 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-05 1 1 546,93 546,93 546,93 546,93 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-06 1 1 546,62 546,62 546,62 546,62 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-07 1 1 540,63 540,63 540,63 540,63 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-08 1 1 548,99 548,99 548,99 548,99 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-11 1 1 555,35 555,35 555,35 555,35 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-12 1 1 550,92 550,92 550,92 550,92 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-13 1 1 553,39 553,39 553,39 553,39 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-14 1 1 556,89 556,89 556,89 556,89 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-15 1 1 558,17 558,17 558,17 558,17 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-18 1 1 557,51 557,51 557,51 557,51 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-19 1 1 557,81 557,81 557,81 557,81 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-20 1 1 562,77 562,77 562,77 562,77 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-21 1 1 562,76 562,76 562,76 562,76 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-22 1 1 562,31 562,31 562,31 562,31 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-25 1 1 562,48 562,48 562,48 562,48 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-26 1 1 562,89 562,89 562,89 562,89 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-27 1 1 565,8 565,8 565,8 565,8 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-28 1 1 568,64 568,64 568,64 568,64 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-07-29 1 1 569,27 569,27 569,27 569,27 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-01 1 1 568,46 568,46 568,46 568,46 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-02 1 1 572,18 572,18 572,18 572,18 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-03 1 1 571,82 571,82 571,82 571,82 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-04 1 1 567,16 567,16 567,16 567,16 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-05 1 1 563,88 563,88 563,88 563,88 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-08 1 1 562,71 562,71 562,71 562,71 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-09 1 1 565,75 565,75 565,75 565,75 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-10 1 1 573,08 573,08 573,08 573,08 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-11 1 1 569,16 569,16 569,16 569,16 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-12 1 1 567,1 567,1 567,1 567,1 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-15 1 1 565,66 565,66 565,66 565,66 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-16 1 1 566,26 566,26 566,26 566,26 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-17 1 1 566,23 566,23 566,23 566,23 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-18 1 1 567,45 567,45 567,45 567,45 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-19 1 1 572,13 572,13 572,13 572,13 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-22 1 1 570,5 570,5 570,5 570,5 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-23 1 1 564,92 564,92 564,92 564,92 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-24 1 1 559,65 559,65 559,65 559,65 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-25 1 1 554,71 554,71 554,71 554,71 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-26 1 1 550,02 550,02 550,02 550,02 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-29 1 1 553,37 553,37 553,37 553,37 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-30 1 1 556,31 556,31 556,31 556,31 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-08-31 1 1 558,3 558,3 558,3 558,3 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-01 1 1 558,66 558,66 558,66 558,66 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-02 1 1 556,51 556,51 556,51 556,51 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-05 1 1 560,18 560,18 560,18 560,18 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-06 1 1 564,74 564,74 564,74 564,74 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-07 1 1 568,89 568,89 568,89 568,89 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-08 1 1 569,93 569,93 569,93 569,93 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-09 1 1 573,17 573,17 573,17 573,17 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-12 1 1 575,92 575,92 575,92 575,92 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-13 1 1 573,42 573,42 573,42 573,42 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-14 1 1 574,07 574,07 574,07 574,07 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-15 1 1 573,13 573,13 573,13 573,13 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-16 1 1 574,96 574,96 574,96 574,96 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-19 1 1 577,06 577,06 577,06 577,06 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-20 1 1 577,18 577,18 577,18 577,18 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-21 1 1 571,82 571,82 571,82 571,82 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-22 1 1 572,5 572,5 572,5 572,5 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-23 1 1 575,4 575,4 575,4 575,4 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-26 1 1 580,81 580,81 580,81 580,81 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-27 1 1 578,89 578,89 578,89 578,89 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-28 1 1 580,9 580,9 580,9 580,9 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-29 1 1 578,47 578,47 578,47 578,47 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-09-30 1 1 580,85 580,85 580,85 580,85 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-03 1 1 588,32 588,32 588,32 588,32 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-04 1 1 590,2 590,2 590,2 590,2 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-05 1 1 587,04 587,04 587,04 587,04 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-06 1 1 578,02 578,02 578,02 578,02 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-07 1 1 577,7 577,7 577,7 577,7 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-10 1 1 579,93 579,93 579,93 579,93 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-11 1 1 580,02 580,02 580,02 580,02 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-12 1 1 575,31 575,31 575,31 575,31 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-13 1 1 575,56 575,56 575,56 575,56 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-14 1 1 576,65 576,65 576,65 576,65 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-17 1 1 575,26 575,26 575,26 575,26 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-18 1 1 577,46 577,46 577,46 577,46 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-19 1 1 573,56 573,56 573,56 573,56 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-20 1 1 571,83 571,83 571,83 571,83 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-21 1 1 565,47 565,47 565,47 565,47 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-24 1 1 570,64 570,64 570,64 570,64 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-25 1 1 570,96 570,96 570,96 570,96 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-26 1 1 572,34 572,34 572,34 572,34 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-27 1 1 564,41 564,41 564,41 564,41 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-28 1 1 563,96 563,96 563,96 563,96 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-10-31 1 1 577,88 577,88 577,88 577,88 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-01 1 1 580,24 580,24 580,24 580,24 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-02 1 1 581,83 581,83 581,83 581,83 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-03 1 1 587,69 587,69 587,69 587,69 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-04 1 1 587,75 587,75 587,75 587,75 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-07 1 1 594,84 594,84 594,84 594,84 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-08 1 1 593,46 593,46 593,46 593,46 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-09 1 1 593,46 593,46 593,46 593,46 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-10 1 1 594,83 594,83 594,83 594,83 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-11 1 1 599,28 599,28 599,28 599,28 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-14 1 1 598,9 598,9 598,9 598,9 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-15 1 1 601,35 601,35 601,35 601,35 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-16 1 1 598,62 598,62 598,62 598,62 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-17 1 1 597,85 597,85 597,85 597,85 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-18 1 1 602,56 602,56 602,56 602,56 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-21 1 1 601,65 601,65 601,65 601,65 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-22 1 1 598,91 598,91 598,91 598,91 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-23 1 1 598,44 598,44 598,44 598,44 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-24 1 1 595,7 595,7 595,7 595,7 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-25 1 1 597,1 597,1 597,1 597,1 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-28 1 1 594,76 594,76 594,76 594,76 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-29 1 1 596,03 596,03 596,03 596,03 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-11-30 1 1 592,91 592,91 592,91 592,91 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-01 1 1 598,66 598,66 598,66 598,66 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-02 1 1 601,33 601,33 601,33 601,33 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-05 1 1 597,66 597,66 597,66 597,66 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-06 1 1 599,41 599,41 599,41 599,41 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-07 1 1 598,94 598,94 598,94 598,94 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-08 1 1 600,65 600,65 600,65 600,65 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-12 1 1 598,09 598,09 598,09 598,09 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-13 1 1 599,95 599,95 599,95 599,95 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-14 1 1 597,5 597,5 597,5 597,5 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-15 1 1 598,53 598,53 598,53 598,53 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-16 1 1 601,91 601,91 601,91 601,91 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-19 1 1 606,18 606,18 606,18 606,18 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-20 1 1 605,52 605,52 605,52 605,52 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-21 1 1 608,31 608,31 608,31 608,31 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-22 1 1 609,54 609,54 609,54 609,54 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-23 1 1 611,68 611,68 611,68 611,68 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-27 1 1 615,61 615,61 615,61 615,61 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-28 1 1 609,88 609,88 609,88 609,88 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-29 1 1 613,51 613,51 613,51 613,51 749788 E. Öhman J:or Fonder AB Öhman Hjärt-Lungfond SEK 2005-12-30 1 1 609,75 609,75 609,75 609,75 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-03 1 1 147,35 147,35 147,35 147,35 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-04 1 1 148,2 148,2 148,2 148,2 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-05 1 1 146,75 146,75 146,75 146,75 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-07 1 1 147,55 147,55 147,55 147,55 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-10 1 1 148,4 148,4 148,4 148,4 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-11 1 1 146,06 146,06 146,06 146,06 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-12 1 1 144,51 144,51 144,51 144,51 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-13 1 1 145,43 145,43 145,43 145,43 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-14 1 1 146,64 146,64 146,64 146,64 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-17 1 1 147,04 147,04 147,04 147,04 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-18 1 1 147,26 147,26 147,26 147,26 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-19 1 1 146,32 146,32 146,32 146,32 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-20 1 1 145,93 145,93 145,93 145,93 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-21 1 1 144,76 144,76 144,76 144,76 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-24 1 1 143,56 143,56 143,56 143,56 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-25 1 1 145,01 145,01 145,01 145,01 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-26 1 1 143,91 143,91 143,91 143,91 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-27 1 1 145,77 145,77 145,77 145,77 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-28 1 1 145,71 145,71 145,71 145,71 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-01-31 1 1 147,6 147,6 147,6 147,6 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-01 1 1 148,09 148,09 148,09 148,09 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-02 1 1 149,04 149,04 149,04 149,04 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-03 1 1 147,87 147,87 147,87 147,87 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-04 1 1 150,39 150,39 150,39 150,39 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-07 1 1 153 153 153 153 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-08 1 1 153,73 153,73 153,73 153,73 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-09 1 1 152,44 152,44 152,44 152,44 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-10 1 1 150,19 150,19 150,19 150,19 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-11 1 1 152,15 152,15 152,15 152,15 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-14 1 1 151,28 151,28 151,28 151,28 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-15 1 1 152,78 152,78 152,78 152,78 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-16 1 1 152,21 152,21 152,21 152,21 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-17 1 1 150,22 150,22 150,22 150,22 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-18 1 1 149,86 149,86 149,86 149,86 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-21 1 1 149,75 149,75 149,75 149,75 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-22 1 1 148,34 148,34 148,34 148,34 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-23 1 1 147,06 147,06 147,06 147,06 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-24 1 1 147,18 147,18 147,18 147,18 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-25 1 1 148,99 148,99 148,99 148,99 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-02-28 1 1 148,56 148,56 148,56 148,56 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-01 1 1 149,47 149,47 149,47 149,47 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-02 1 1 151,97 151,97 151,97 151,97 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-03 1 1 149,72 149,72 149,72 149,72 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-04 1 1 149,75 149,75 149,75 149,75 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-07 1 1 151,54 151,54 151,54 151,54 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-08 1 1 149,07 149,07 149,07 149,07 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-09 1 1 149,94 149,94 149,94 149,94 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-10 1 1 147,69 147,69 147,69 147,69 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-11 1 1 147,37 147,37 147,37 147,37 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-14 1 1 147,96 147,96 147,96 147,96 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-15 1 1 147,65 147,65 147,65 147,65 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-16 1 1 145,25 145,25 145,25 145,25 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-17 1 1 146 146 146 146 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-18 1 1 146,38 146,38 146,38 146,38 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-21 1 1 146,36 146,36 146,36 146,36 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-22 1 1 145,8 145,8 145,8 145,8 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-23 1 1 146,68 146,68 146,68 146,68 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-24 1 1 146,49 146,49 146,49 146,49 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-29 1 1 147,71 147,71 147,71 147,71 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-30 1 1 147,31 147,31 147,31 147,31 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-03-31 1 1 147,97 147,97 147,97 147,97 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-01 1 1 149,22 149,22 149,22 149,22 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-04 1 1 148,7 148,7 148,7 148,7 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-05 1 1 148,99 148,99 148,99 148,99 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-06 1 1 149,7 149,7 149,7 149,7 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-07 1 1 148,91 148,91 148,91 148,91 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-08 1 1 150,24 150,24 150,24 150,24 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-11 1 1 148,28 148,28 148,28 148,28 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-12 1 1 147,77 147,77 147,77 147,77 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-13 1 1 148,17 148,17 148,17 148,17 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-14 1 1 147,84 147,84 147,84 147,84 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-15 1 1 142,43 142,43 142,43 142,43 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-18 1 1 140,34 140,34 140,34 140,34 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-19 1 1 140,8 140,8 140,8 140,8 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-20 1 1 140,75 140,75 140,75 140,75 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-21 1 1 141,1 141,1 141,1 141,1 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-22 1 1 142,36 142,36 142,36 142,36 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-25 1 1 143,05 143,05 143,05 143,05 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-26 1 1 143,35 143,35 143,35 143,35 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-27 1 1 141 141 141 141 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-28 1 1 141,49 141,49 141,49 141,49 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-04-29 1 1 141,27 141,27 141,27 141,27 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-02 1 1 143,52 143,52 143,52 143,52 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-03 1 1 143,17 143,17 143,17 143,17 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-04 1 1 142,42 142,42 142,42 142,42 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-06 1 1 145,97 145,97 145,97 145,97 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-09 1 1 145,82 145,82 145,82 145,82 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-10 1 1 145,2 145,2 145,2 145,2 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-11 1 1 145,42 145,42 145,42 145,42 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-12 1 1 147,35 147,35 147,35 147,35 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-13 1 1 150,69 150,69 150,69 150,69 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-16 1 1 151,97 151,97 151,97 151,97 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-17 1 1 151,7 151,7 151,7 151,7 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-18 1 1 154,15 154,15 154,15 154,15 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-19 1 1 155,67 155,67 155,67 155,67 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-20 1 1 155,92 155,92 155,92 155,92 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-23 1 1 156,12 156,12 156,12 156,12 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-24 1 1 156,2 156,2 156,2 156,2 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-25 1 1 155,7 155,7 155,7 155,7 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-26 1 1 158,49 158,49 158,49 158,49 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-27 1 1 158,22 158,22 158,22 158,22 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-30 1 1 158,97 158,97 158,97 158,97 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-05-31 1 1 158,8 158,8 158,8 158,8 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-01 1 1 160,44 160,44 160,44 160,44 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-02 1 1 160,41 160,41 160,41 160,41 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-03 1 1 160,32 160,32 160,32 160,32 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-07 1 1 160,46 160,46 160,46 160,46 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-08 1 1 160,2 160,2 160,2 160,2 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-09 1 1 160,77 160,77 160,77 160,77 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-10 1 1 162,68 162,68 162,68 162,68 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-13 1 1 164,78 164,78 164,78 164,78 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-14 1 1 164,09 164,09 164,09 164,09 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-15 1 1 162,43 162,43 162,43 162,43 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-16 1 1 164,35 164,35 164,35 164,35 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-17 1 1 162,26 162,26 162,26 162,26 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-20 1 1 162,63 162,63 162,63 162,63 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-21 1 1 163,75 163,75 163,75 163,75 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-22 1 1 165,45 165,45 165,45 165,45 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-23 1 1 168,19 168,19 168,19 168,19 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-27 1 1 162,97 162,97 162,97 162,97 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-28 1 1 163,96 163,96 163,96 163,96 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-29 1 1 166,04 166,04 166,04 166,04 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-06-30 1 1 165,38 165,38 165,38 165,38 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-01 1 1 167,06 167,06 167,06 167,06 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-04 1 1 167,35 167,35 167,35 167,35 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-05 1 1 166,97 166,97 166,97 166,97 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-06 1 1 167,46 167,46 167,46 167,46 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-07 1 1 165,47 165,47 165,47 165,47 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-08 1 1 168,81 168,81 168,81 168,81 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-11 1 1 171,49 171,49 171,49 171,49 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-12 1 1 171,38 171,38 171,38 171,38 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-13 1 1 172,46 172,46 172,46 172,46 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-14 1 1 173,96 173,96 173,96 173,96 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-15 1 1 173,39 173,39 173,39 173,39 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-18 1 1 173,03 173,03 173,03 173,03 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-19 1 1 175,34 175,34 175,34 175,34 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-20 1 1 174,31 174,31 174,31 174,31 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-21 1 1 173,42 173,42 173,42 173,42 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-22 1 1 172,9 172,9 172,9 172,9 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-25 1 1 173,7 173,7 173,7 173,7 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-26 1 1 173,28 173,28 173,28 173,28 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-27 1 1 173,09 173,09 173,09 173,09 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-28 1 1 173,03 173,03 173,03 173,03 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-07-29 1 1 172,71 172,71 172,71 172,71 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-01 1 1 171,25 171,25 171,25 171,25 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-02 1 1 172,72 172,72 172,72 172,72 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-03 1 1 172,19 172,19 172,19 172,19 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-04 1 1 170,26 170,26 170,26 170,26 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-05 1 1 168,78 168,78 168,78 168,78 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-08 1 1 168,3 168,3 168,3 168,3 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-09 1 1 169,31 169,31 169,31 169,31 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-10 1 1 169,59 169,59 169,59 169,59 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-11 1 1 166,98 166,98 166,98 166,98 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-12 1 1 165,92 165,92 165,92 165,92 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-15 1 1 166,24 166,24 166,24 166,24 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-16 1 1 166,02 166,02 166,02 166,02 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-17 1 1 167,19 167,19 167,19 167,19 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-18 1 1 167,67 167,67 167,67 167,67 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-19 1 1 169,14 169,14 169,14 169,14 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-22 1 1 169,42 169,42 169,42 169,42 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-23 1 1 168,6 168,6 168,6 168,6 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-24 1 1 167,89 167,89 167,89 167,89 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-25 1 1 166,01 166,01 166,01 166,01 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-26 1 1 164,63 164,63 164,63 164,63 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-29 1 1 165,66 165,66 165,66 165,66 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-30 1 1 166,5 166,5 166,5 166,5 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-08-31 1 1 166,38 166,38 166,38 166,38 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-01 1 1 164,98 164,98 164,98 164,98 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-02 1 1 163,62 163,62 163,62 163,62 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-05 1 1 164,04 164,04 164,04 164,04 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-06 1 1 165,96 165,96 165,96 165,96 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-07 1 1 166,7 166,7 166,7 166,7 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-08 1 1 167,81 167,81 167,81 167,81 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-09 1 1 167,81 167,81 167,81 167,81 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-12 1 1 169,71 169,71 169,71 169,71 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-13 1 1 170,06 170,06 170,06 170,06 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-14 1 1 170,34 170,34 170,34 170,34 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-15 1 1 169,75 169,75 169,75 169,75 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-16 1 1 170,32 170,32 170,32 170,32 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-19 1 1 170,82 170,82 170,82 170,82 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-20 1 1 171,5 171,5 171,5 171,5 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-21 1 1 168,14 168,14 168,14 168,14 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-22 1 1 167,7 167,7 167,7 167,7 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-23 1 1 168,92 168,92 168,92 168,92 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-26 1 1 170,78 170,78 170,78 170,78 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-27 1 1 170,1 170,1 170,1 170,1 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-28 1 1 171,66 171,66 171,66 171,66 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-29 1 1 170 170 170 170 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-09-30 1 1 171,38 171,38 171,38 171,38 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-03 1 1 174,11 174,11 174,11 174,11 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-04 1 1 173,81 173,81 173,81 173,81 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-05 1 1 171,52 171,52 171,52 171,52 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-06 1 1 167,16 167,16 167,16 167,16 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-07 1 1 167,65 167,65 167,65 167,65 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-10 1 1 168,31 168,31 168,31 168,31 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-11 1 1 168,5 168,5 168,5 168,5 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-12 1 1 166,74 166,74 166,74 166,74 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-13 1 1 167,13 167,13 167,13 167,13 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-14 1 1 166,63 166,63 166,63 166,63 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-17 1 1 168,19 168,19 168,19 168,19 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-18 1 1 168,36 168,36 168,36 168,36 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-19 1 1 165,32 165,32 165,32 165,32 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-20 1 1 168,05 168,05 168,05 168,05 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-21 1 1 166,95 166,95 166,95 166,95 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-24 1 1 168,46 168,46 168,46 168,46 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-25 1 1 167,29 167,29 167,29 167,29 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-26 1 1 167,75 167,75 167,75 167,75 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-27 1 1 164,56 164,56 164,56 164,56 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-28 1 1 163,87 163,87 163,87 163,87 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-10-31 1 1 168,94 168,94 168,94 168,94 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-01 1 1 169,17 169,17 169,17 169,17 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-02 1 1 169,71 169,71 169,71 169,71 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-03 1 1 172,6 172,6 172,6 172,6 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-04 1 1 173,51 173,51 173,51 173,51 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-07 1 1 175,96 175,96 175,96 175,96 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-08 1 1 175,56 175,56 175,56 175,56 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-09 1 1 176,48 176,48 176,48 176,48 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-10 1 1 176,65 176,65 176,65 176,65 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-11 1 1 178,57 178,57 178,57 178,57 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-14 1 1 178,61 178,61 178,61 178,61 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-15 1 1 180,22 180,22 180,22 180,22 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-16 1 1 179,64 179,64 179,64 179,64 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-17 1 1 179,44 179,44 179,44 179,44 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-18 1 1 180,3 180,3 180,3 180,3 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-21 1 1 179,59 179,59 179,59 179,59 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-22 1 1 179,72 179,72 179,72 179,72 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-23 1 1 179,68 179,68 179,68 179,68 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-24 1 1 179,62 179,62 179,62 179,62 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-25 1 1 179,85 179,85 179,85 179,85 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-28 1 1 178,76 178,76 178,76 178,76 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-29 1 1 180,9 180,9 180,9 180,9 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-11-30 1 1 181,2 181,2 181,2 181,2 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-01 1 1 183,14 183,14 183,14 183,14 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-02 1 1 183,22 183,22 183,22 183,22 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-05 1 1 181,44 181,44 181,44 181,44 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-06 1 1 182,35 182,35 182,35 182,35 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-07 1 1 182,97 182,97 182,97 182,97 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-08 1 1 181,95 181,95 181,95 181,95 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-12 1 1 180,72 180,72 180,72 180,72 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-13 1 1 180,15 180,15 180,15 180,15 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-14 1 1 178,94 178,94 178,94 178,94 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-15 1 1 179,65 179,65 179,65 179,65 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-16 1 1 178,43 178,43 178,43 178,43 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-19 1 1 177,55 177,55 177,55 177,55 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-20 1 1 177,28 177,28 177,28 177,28 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-21 1 1 179,29 179,29 179,29 179,29 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-22 1 1 179,6 179,6 179,6 179,6 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-23 1 1 180,72 180,72 180,72 180,72 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-27 1 1 181,48 181,48 181,48 181,48 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-28 1 1 179,1 179,1 179,1 179,1 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-29 1 1 180,16 180,16 180,16 180,16 785618 E. Öhman J:or Fonder AB Öhman IT-fond SEK 2005-12-30 1 1 178,92 178,92 178,92 178,92 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-03 1 1 128,2 128,2 128,2 128,2 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-04 1 1 129,08 129,08 129,08 129,08 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-05 1 1 128,63 128,63 128,63 128,63 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-07 1 1 129,58 129,58 129,58 129,58 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-10 1 1 130,41 130,41 130,41 130,41 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-11 1 1 129,33 129,33 129,33 129,33 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-12 1 1 128,31 128,31 128,31 128,31 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-13 1 1 129,15 129,15 129,15 129,15 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-14 1 1 129,53 129,53 129,53 129,53 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-17 1 1 129,87 129,87 129,87 129,87 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-18 1 1 130,39 130,39 130,39 130,39 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-19 1 1 130,71 130,71 130,71 130,71 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-20 1 1 131,12 131,12 131,12 131,12 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-21 1 1 130,8 130,8 130,8 130,8 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-24 1 1 130,73 130,73 130,73 130,73 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-25 1 1 132,18 132,18 132,18 132,18 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-26 1 1 132,05 132,05 132,05 132,05 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-27 1 1 132,5 132,5 132,5 132,5 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-28 1 1 132,32 132,32 132,32 132,32 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-01-31 1 1 132,41 132,41 132,41 132,41 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-01 1 1 132,36 132,36 132,36 132,36 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-02 1 1 132,47 132,47 132,47 132,47 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-03 1 1 133,23 133,23 133,23 133,23 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-04 1 1 134,09 134,09 134,09 134,09 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-07 1 1 135,14 135,14 135,14 135,14 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-08 1 1 135,29 135,29 135,29 135,29 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-09 1 1 134,96 134,96 134,96 134,96 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-10 1 1 134,28 134,28 134,28 134,28 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-11 1 1 135,25 135,25 135,25 135,25 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-14 1 1 133,78 133,78 133,78 133,78 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-15 1 1 134,13 134,13 134,13 134,13 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-16 1 1 133,94 133,94 133,94 133,94 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-17 1 1 133,67 133,67 133,67 133,67 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-18 1 1 134,75 134,75 134,75 134,75 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-21 1 1 136,21 136,21 136,21 136,21 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-22 1 1 135,35 135,35 135,35 135,35 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-23 1 1 134,54 134,54 134,54 134,54 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-24 1 1 134,57 134,57 134,57 134,57 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-25 1 1 135,77 135,77 135,77 135,77 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-02-28 1 1 135,56 135,56 135,56 135,56 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-01 1 1 136,47 136,47 136,47 136,47 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-02 1 1 138,2 138,2 138,2 138,2 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-03 1 1 137,6 137,6 137,6 137,6 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-04 1 1 137,98 137,98 137,98 137,98 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-07 1 1 138,61 138,61 138,61 138,61 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-08 1 1 137,16 137,16 137,16 137,16 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-09 1 1 136,94 136,94 136,94 136,94 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-10 1 1 136,77 136,77 136,77 136,77 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-11 1 1 136,56 136,56 136,56 136,56 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-14 1 1 136,69 136,69 136,69 136,69 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-15 1 1 137,89 137,89 137,89 137,89 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-16 1 1 136,39 136,39 136,39 136,39 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-17 1 1 136,49 136,49 136,49 136,49 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-18 1 1 137,07 137,07 137,07 137,07 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-21 1 1 137,75 137,75 137,75 137,75 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-22 1 1 138,03 138,03 138,03 138,03 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-23 1 1 138,87 138,87 138,87 138,87 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-24 1 1 139,91 139,91 139,91 139,91 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-29 1 1 140,35 140,35 140,35 140,35 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-30 1 1 140,08 140,08 140,08 140,08 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-03-31 1 1 140,48 140,48 140,48 140,48 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-01 1 1 141,06 141,06 141,06 141,06 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-04 1 1 140,77 140,77 140,77 140,77 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-05 1 1 142,82 142,82 142,82 142,82 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-06 1 1 143,43 143,43 143,43 143,43 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-07 1 1 142,75 142,75 142,75 142,75 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-08 1 1 143,32 143,32 143,32 143,32 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-11 1 1 142,69 142,69 142,69 142,69 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-12 1 1 142,28 142,28 142,28 142,28 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-13 1 1 143,34 143,34 143,34 143,34 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-14 1 1 145,47 145,47 145,47 145,47 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-15 1 1 146,44 146,44 146,44 146,44 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-18 1 1 144,31 144,31 144,31 144,31 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-19 1 1 144,61 144,61 144,61 144,61 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-20 1 1 143,62 143,62 143,62 143,62 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-21 1 1 142,93 142,93 142,93 142,93 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-22 1 1 143,44 143,44 143,44 143,44 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-25 1 1 143,15 143,15 143,15 143,15 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-26 1 1 144,09 144,09 144,09 144,09 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-27 1 1 143,27 143,27 143,27 143,27 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-28 1 1 144,29 144,29 144,29 144,29 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-04-29 1 1 144,74 144,74 144,74 144,74 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-02 1 1 146,32 146,32 146,32 146,32 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-03 1 1 146,79 146,79 146,79 146,79 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-04 1 1 146,49 146,49 146,49 146,49 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-06 1 1 148,48 148,48 148,48 148,48 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-09 1 1 147,39 147,39 147,39 147,39 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-10 1 1 147,05 147,05 147,05 147,05 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-11 1 1 146,93 146,93 146,93 146,93 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-12 1 1 148,26 148,26 148,26 148,26 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-13 1 1 148,55 148,55 148,55 148,55 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-16 1 1 148,98 148,98 148,98 148,98 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-17 1 1 148,5 148,5 148,5 148,5 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-18 1 1 149,32 149,32 149,32 149,32 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-19 1 1 149,34 149,34 149,34 149,34 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-20 1 1 149,48 149,48 149,48 149,48 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-23 1 1 149,36 149,36 149,36 149,36 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-24 1 1 150,17 150,17 150,17 150,17 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-25 1 1 149,84 149,84 149,84 149,84 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-26 1 1 151,34 151,34 151,34 151,34 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-27 1 1 150,98 150,98 150,98 150,98 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-30 1 1 151,54 151,54 151,54 151,54 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-05-31 1 1 151,74 151,74 151,74 151,74 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-01 1 1 152,86 152,86 152,86 152,86 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-02 1 1 152,18 152,18 152,18 152,18 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-03 1 1 152,14 152,14 152,14 152,14 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-07 1 1 152,65 152,65 152,65 152,65 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-08 1 1 152,46 152,46 152,46 152,46 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-09 1 1 152,96 152,96 152,96 152,96 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-10 1 1 154,28 154,28 154,28 154,28 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-13 1 1 155,57 155,57 155,57 155,57 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-14 1 1 153,84 153,84 153,84 153,84 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-15 1 1 152,98 152,98 152,98 152,98 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-16 1 1 153,26 153,26 153,26 153,26 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-17 1 1 152,39 152,39 152,39 152,39 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-20 1 1 153,52 153,52 153,52 153,52 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-21 1 1 154,39 154,39 154,39 154,39 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-22 1 1 154,73 154,73 154,73 154,73 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-23 1 1 155,61 155,61 155,61 155,61 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-27 1 1 153,62 153,62 153,62 153,62 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-28 1 1 154,71 154,71 154,71 154,71 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-29 1 1 155,77 155,77 155,77 155,77 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-06-30 1 1 155,38 155,38 155,38 155,38 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-01 1 1 156,26 156,26 156,26 156,26 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-04 1 1 156,56 156,56 156,56 156,56 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-05 1 1 156,31 156,31 156,31 156,31 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-06 1 1 155,69 155,69 155,69 155,69 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-07 1 1 154,15 154,15 154,15 154,15 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-08 1 1 156,09 156,09 156,09 156,09 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-11 1 1 157,04 157,04 157,04 157,04 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-12 1 1 154,74 154,74 154,74 154,74 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-13 1 1 154,8 154,8 154,8 154,8 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-14 1 1 155,93 155,93 155,93 155,93 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-15 1 1 156,81 156,81 156,81 156,81 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-18 1 1 156,47 156,47 156,47 156,47 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-19 1 1 156,7 156,7 156,7 156,7 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-20 1 1 158,74 158,74 158,74 158,74 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-21 1 1 157,68 157,68 157,68 157,68 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-22 1 1 157,05 157,05 157,05 157,05 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-25 1 1 157,32 157,32 157,32 157,32 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-26 1 1 157,66 157,66 157,66 157,66 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-27 1 1 157,86 157,86 157,86 157,86 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-28 1 1 158,86 158,86 158,86 158,86 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-07-29 1 1 159,44 159,44 159,44 159,44 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-01 1 1 159,12 159,12 159,12 159,12 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-02 1 1 159,49 159,49 159,49 159,49 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-03 1 1 159,19 159,19 159,19 159,19 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-04 1 1 157,78 157,78 157,78 157,78 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-05 1 1 156,84 156,84 156,84 156,84 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-08 1 1 157,25 157,25 157,25 157,25 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-09 1 1 158,89 158,89 158,89 158,89 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-10 1 1 161,07 161,07 161,07 161,07 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-11 1 1 159,34 159,34 159,34 159,34 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-12 1 1 158,7 158,7 158,7 158,7 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-15 1 1 158,37 158,37 158,37 158,37 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-16 1 1 159,05 159,05 159,05 159,05 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-17 1 1 159,35 159,35 159,35 159,35 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-18 1 1 160,21 160,21 160,21 160,21 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-19 1 1 161,68 161,68 161,68 161,68 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-22 1 1 160,3 160,3 160,3 160,3 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-23 1 1 158,76 158,76 158,76 158,76 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-24 1 1 157,72 157,72 157,72 157,72 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-25 1 1 157,09 157,09 157,09 157,09 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-26 1 1 155,9 155,9 155,9 155,9 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-29 1 1 156,78 156,78 156,78 156,78 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-30 1 1 157,93 157,93 157,93 157,93 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-08-31 1 1 158,11 158,11 158,11 158,11 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-01 1 1 158,12 158,12 158,12 158,12 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-02 1 1 157,25 157,25 157,25 157,25 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-05 1 1 158,35 158,35 158,35 158,35 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-06 1 1 159,88 159,88 159,88 159,88 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-07 1 1 161,29 161,29 161,29 161,29 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-08 1 1 162,08 162,08 162,08 162,08 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-09 1 1 162,43 162,43 162,43 162,43 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-12 1 1 163,38 163,38 163,38 163,38 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-13 1 1 162,39 162,39 162,39 162,39 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-14 1 1 162,22 162,22 162,22 162,22 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-15 1 1 162,54 162,54 162,54 162,54 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-16 1 1 162,7 162,7 162,7 162,7 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-19 1 1 163,39 163,39 163,39 163,39 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-20 1 1 163,15 163,15 163,15 163,15 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-21 1 1 161,76 161,76 161,76 161,76 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-22 1 1 162,14 162,14 162,14 162,14 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-23 1 1 163,28 163,28 163,28 163,28 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-26 1 1 164,13 164,13 164,13 164,13 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-27 1 1 163,81 163,81 163,81 163,81 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-28 1 1 163,71 163,71 163,71 163,71 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-29 1 1 162,54 162,54 162,54 162,54 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-09-30 1 1 163,04 163,04 163,04 163,04 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-03 1 1 165,06 165,06 165,06 165,06 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-04 1 1 166,25 166,25 166,25 166,25 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-05 1 1 165,75 165,75 165,75 165,75 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-06 1 1 162,98 162,98 162,98 162,98 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-07 1 1 162,82 162,82 162,82 162,82 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-10 1 1 163,4 163,4 163,4 163,4 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-11 1 1 163,27 163,27 163,27 163,27 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-12 1 1 162,36 162,36 162,36 162,36 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-13 1 1 163,15 163,15 163,15 163,15 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-14 1 1 163,24 163,24 163,24 163,24 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-17 1 1 163,1 163,1 163,1 163,1 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-18 1 1 164,47 164,47 164,47 164,47 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-19 1 1 163,83 163,83 163,83 163,83 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-20 1 1 162,85 162,85 162,85 162,85 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-21 1 1 160,81 160,81 160,81 160,81 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-24 1 1 162,31 162,31 162,31 162,31 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-25 1 1 161,04 161,04 161,04 161,04 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-26 1 1 161,22 161,22 161,22 161,22 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-27 1 1 159,46 159,46 159,46 159,46 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-28 1 1 159,54 159,54 159,54 159,54 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-10-31 1 1 163,15 163,15 163,15 163,15 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-01 1 1 164,12 164,12 164,12 164,12 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-02 1 1 164,64 164,64 164,64 164,64 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-03 1 1 166,22 166,22 166,22 166,22 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-04 1 1 166,04 166,04 166,04 166,04 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-07 1 1 168,26 168,26 168,26 168,26 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-08 1 1 167,87 167,87 167,87 167,87 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-09 1 1 168,16 168,16 168,16 168,16 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-10 1 1 168,83 168,83 168,83 168,83 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-11 1 1 169,24 169,24 169,24 169,24 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-14 1 1 168,86 168,86 168,86 168,86 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-15 1 1 169,59 169,59 169,59 169,59 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-16 1 1 168,23 168,23 168,23 168,23 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-17 1 1 167,63 167,63 167,63 167,63 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-18 1 1 168,87 168,87 168,87 168,87 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-21 1 1 167,9 167,9 167,9 167,9 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-22 1 1 167,51 167,51 167,51 167,51 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-23 1 1 166,91 166,91 166,91 166,91 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-24 1 1 166,51 166,51 166,51 166,51 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-25 1 1 167,02 167,02 167,02 167,02 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-28 1 1 165,67 165,67 165,67 165,67 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-29 1 1 166,7 166,7 166,7 166,7 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-11-30 1 1 166,24 166,24 166,24 166,24 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-01 1 1 167,24 167,24 167,24 167,24 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-02 1 1 167,29 167,29 167,29 167,29 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-05 1 1 166,75 166,75 166,75 166,75 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-06 1 1 166,43 166,43 166,43 166,43 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-07 1 1 166,03 166,03 166,03 166,03 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-08 1 1 166,11 166,11 166,11 166,11 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-12 1 1 165,12 165,12 165,12 165,12 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-13 1 1 166,5 166,5 166,5 166,5 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-14 1 1 166,19 166,19 166,19 166,19 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-15 1 1 167,13 167,13 167,13 167,13 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-16 1 1 167,97 167,97 167,97 167,97 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-19 1 1 169,63 169,63 169,63 169,63 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-20 1 1 169,44 169,44 169,44 169,44 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-21 1 1 170,3 170,3 170,3 170,3 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-22 1 1 170,54 170,54 170,54 170,54 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-23 1 1 170,84 170,84 170,84 170,84 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-27 1 1 171,91 171,91 171,91 171,91 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-28 1 1 170,02 170,02 170,02 170,02 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-29 1 1 171,23 171,23 171,23 171,23 366575 E. Öhman J:or Fonder AB Öhman Medicafond SEK 2005-12-30 1 1 170,16 170,16 170,16 170,16 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-03 1 1 154,92 154,92 154,92 154,92 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-04 1 1 155,51 155,51 155,51 155,51 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-05 1 1 154,73 154,73 154,73 154,73 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-07 1 1 154,99 154,99 154,99 154,99 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-10 1 1 156,05 156,05 156,05 156,05 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-11 1 1 155,31 155,31 155,31 155,31 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-12 1 1 153,9 153,9 153,9 153,9 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-13 1 1 154 154 154 154 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-14 1 1 154,37 154,37 154,37 154,37 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-17 1 1 154,59 154,59 154,59 154,59 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-18 1 1 154,66 154,66 154,66 154,66 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-19 1 1 154,89 154,89 154,89 154,89 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-20 1 1 153,89 153,89 153,89 153,89 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-21 1 1 153,68 153,68 153,68 153,68 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-24 1 1 153,16 153,16 153,16 153,16 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-25 1 1 154,13 154,13 154,13 154,13 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-26 1 1 153,8 153,8 153,8 153,8 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-27 1 1 153,56 153,56 153,56 153,56 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-28 1 1 153,01 153,01 153,01 153,01 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-01-31 1 1 154,05 154,05 154,05 154,05 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-01 1 1 154,91 154,91 154,91 154,91 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-02 1 1 155,36 155,36 155,36 155,36 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-03 1 1 154,55 154,55 154,55 154,55 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-04 1 1 155,58 155,58 155,58 155,58 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-07 1 1 156,63 156,63 156,63 156,63 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-08 1 1 156,24 156,24 156,24 156,24 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-09 1 1 156,55 156,55 156,55 156,55 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-10 1 1 155,03 155,03 155,03 155,03 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-11 1 1 156,02 156,02 156,02 156,02 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-14 1 1 156,42 156,42 156,42 156,42 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-15 1 1 157,22 157,22 157,22 157,22 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-16 1 1 156,84 156,84 156,84 156,84 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-17 1 1 157,05 157,05 157,05 157,05 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-18 1 1 156,21 156,21 156,21 156,21 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-21 1 1 156,44 156,44 156,44 156,44 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-22 1 1 156,09 156,09 156,09 156,09 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-23 1 1 155,97 155,97 155,97 155,97 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-24 1 1 156,36 156,36 156,36 156,36 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-25 1 1 157,37 157,37 157,37 157,37 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-02-28 1 1 157,34 157,34 157,34 157,34 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-01 1 1 157,41 157,41 157,41 157,41 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-02 1 1 157,89 157,89 157,89 157,89 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-03 1 1 157,75 157,75 157,75 157,75 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-04 1 1 158,88 158,88 158,88 158,88 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-07 1 1 158,33 158,33 158,33 158,33 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-08 1 1 157,61 157,61 157,61 157,61 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-09 1 1 157,54 157,54 157,54 157,54 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-10 1 1 156,84 156,84 156,84 156,84 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-11 1 1 157,29 157,29 157,29 157,29 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-14 1 1 157,6 157,6 157,6 157,6 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-15 1 1 158,36 158,36 158,36 158,36 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-16 1 1 156,75 156,75 156,75 156,75 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-17 1 1 156,8 156,8 156,8 156,8 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-18 1 1 156,29 156,29 156,29 156,29 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-21 1 1 155,82 155,82 155,82 155,82 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-22 1 1 156,56 156,56 156,56 156,56 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-23 1 1 156,26 156,26 156,26 156,26 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-24 1 1 156,65 156,65 156,65 156,65 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-29 1 1 156,71 156,71 156,71 156,71 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-30 1 1 156,56 156,56 156,56 156,56 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-03-31 1 1 156,83 156,83 156,83 156,83 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-01 1 1 157,6 157,6 157,6 157,6 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-04 1 1 157,39 157,39 157,39 157,39 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-05 1 1 158,85 158,85 158,85 158,85 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-06 1 1 159,73 159,73 159,73 159,73 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-07 1 1 160,08 160,08 160,08 160,08 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-08 1 1 160,69 160,69 160,69 160,69 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-11 1 1 160,88 160,88 160,88 160,88 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-12 1 1 160,33 160,33 160,33 160,33 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-13 1 1 161,13 161,13 161,13 161,13 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-14 1 1 161,57 161,57 161,57 161,57 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-15 1 1 160,17 160,17 160,17 160,17 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-18 1 1 158,51 158,51 158,51 158,51 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-19 1 1 158,89 158,89 158,89 158,89 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-20 1 1 158,88 158,88 158,88 158,88 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-21 1 1 158,89 158,89 158,89 158,89 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-22 1 1 159,87 159,87 159,87 159,87 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-25 1 1 159,55 159,55 159,55 159,55 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-26 1 1 158,87 158,87 158,87 158,87 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-27 1 1 157,34 157,34 157,34 157,34 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-28 1 1 156,93 156,93 156,93 156,93 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-04-29 1 1 157,18 157,18 157,18 157,18 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-02 1 1 157,73 157,73 157,73 157,73 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-03 1 1 158,03 158,03 158,03 158,03 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-04 1 1 157,96 157,96 157,96 157,96 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-06 1 1 158,57 158,57 158,57 158,57 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-09 1 1 158,64 158,64 158,64 158,64 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-10 1 1 158,27 158,27 158,27 158,27 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-11 1 1 158,14 158,14 158,14 158,14 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-12 1 1 158,68 158,68 158,68 158,68 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-13 1 1 158,88 158,88 158,88 158,88 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-16 1 1 159,05 159,05 159,05 159,05 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-17 1 1 159,62 159,62 159,62 159,62 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-18 1 1 160,29 160,29 160,29 160,29 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-19 1 1 160,56 160,56 160,56 160,56 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-20 1 1 160,85 160,85 160,85 160,85 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-23 1 1 160,67 160,67 160,67 160,67 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-24 1 1 160,85 160,85 160,85 160,85 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-25 1 1 160,73 160,73 160,73 160,73 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-26 1 1 161,35 161,35 161,35 161,35 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-27 1 1 161,52 161,52 161,52 161,52 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-30 1 1 161,64 161,64 161,64 161,64 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-05-31 1 1 161,7 161,7 161,7 161,7 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-01 1 1 161,9 161,9 161,9 161,9 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-02 1 1 161,91 161,91 161,91 161,91 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-03 1 1 161,59 161,59 161,59 161,59 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-07 1 1 162,28 162,28 162,28 162,28 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-08 1 1 162,7 162,7 162,7 162,7 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-09 1 1 162,58 162,58 162,58 162,58 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-10 1 1 163,12 163,12 163,12 163,12 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-13 1 1 163,59 163,59 163,59 163,59 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-14 1 1 159,97 159,97 159,97 159,97 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-15 1 1 159,59 159,59 159,59 159,59 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-16 1 1 160,11 160,11 160,11 160,11 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-17 1 1 160,36 160,36 160,36 160,36 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-20 1 1 160,31 160,31 160,31 160,31 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-21 1 1 161,02 161,02 161,02 161,02 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-22 1 1 161,38 161,38 161,38 161,38 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-23 1 1 162,21 162,21 162,21 162,21 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-27 1 1 160,75 160,75 160,75 160,75 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-28 1 1 161,07 161,07 161,07 161,07 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-29 1 1 161,9 161,9 161,9 161,9 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-06-30 1 1 161,66 161,66 161,66 161,66 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-01 1 1 162,37 162,37 162,37 162,37 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-04 1 1 162,78 162,78 162,78 162,78 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-05 1 1 162,57 162,57 162,57 162,57 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-06 1 1 162,46 162,46 162,46 162,46 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-07 1 1 161,31 161,31 161,31 161,31 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-08 1 1 162,76 162,76 162,76 162,76 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-11 1 1 163,99 163,99 163,99 163,99 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-12 1 1 164,07 164,07 164,07 164,07 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-13 1 1 164,32 164,32 164,32 164,32 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-14 1 1 164,4 164,4 164,4 164,4 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-15 1 1 164,04 164,04 164,04 164,04 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-18 1 1 164,08 164,08 164,08 164,08 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-19 1 1 164,12 164,12 164,12 164,12 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-20 1 1 163,72 163,72 163,72 163,72 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-21 1 1 164,41 164,41 164,41 164,41 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-22 1 1 165 165 165 165 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-25 1 1 165,35 165,35 165,35 165,35 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-26 1 1 165,65 165,65 165,65 165,65 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-27 1 1 166,2 166,2 166,2 166,2 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-28 1 1 166,67 166,67 166,67 166,67 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-07-29 1 1 166,59 166,59 166,59 166,59 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-01 1 1 166,77 166,77 166,77 166,77 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-02 1 1 167,36 167,36 167,36 167,36 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-03 1 1 167,05 167,05 167,05 167,05 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-04 1 1 166,39 166,39 166,39 166,39 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-05 1 1 165,91 165,91 165,91 165,91 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-08 1 1 165,67 165,67 165,67 165,67 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-09 1 1 166 166 166 166 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-10 1 1 167,33 167,33 167,33 167,33 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-11 1 1 166,93 166,93 166,93 166,93 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-12 1 1 166,43 166,43 166,43 166,43 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-15 1 1 166,39 166,39 166,39 166,39 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-16 1 1 166,19 166,19 166,19 166,19 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-17 1 1 165,82 165,82 165,82 165,82 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-18 1 1 165,87 165,87 165,87 165,87 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-19 1 1 166,66 166,66 166,66 166,66 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-22 1 1 166,95 166,95 166,95 166,95 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-23 1 1 166,28 166,28 166,28 166,28 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-24 1 1 165,29 165,29 165,29 165,29 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-25 1 1 164,3 164,3 164,3 164,3 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-26 1 1 163,93 163,93 163,93 163,93 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-29 1 1 164,28 164,28 164,28 164,28 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-30 1 1 164,5 164,5 164,5 164,5 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-08-31 1 1 165,35 165,35 165,35 165,35 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-01 1 1 165,64 165,64 165,64 165,64 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-02 1 1 165,79 165,79 165,79 165,79 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-05 1 1 166,22 166,22 166,22 166,22 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-06 1 1 166,53 166,53 166,53 166,53 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-07 1 1 166,76 166,76 166,76 166,76 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-08 1 1 166,71 166,71 166,71 166,71 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-09 1 1 167,39 167,39 167,39 167,39 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-12 1 1 167,22 167,22 167,22 167,22 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-13 1 1 167,16 167,16 167,16 167,16 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-14 1 1 167,71 167,71 167,71 167,71 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-15 1 1 167,52 167,52 167,52 167,52 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-16 1 1 167,91 167,91 167,91 167,91 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-19 1 1 168,2 168,2 168,2 168,2 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-20 1 1 168,28 168,28 168,28 168,28 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-21 1 1 167,96 167,96 167,96 167,96 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-22 1 1 167,97 167,97 167,97 167,97 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-23 1 1 167,94 167,94 167,94 167,94 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-26 1 1 169,07 169,07 169,07 169,07 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-27 1 1 169 169 169 169 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-28 1 1 169,96 169,96 169,96 169,96 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-29 1 1 170,01 170,01 170,01 170,01 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-09-30 1 1 170,34 170,34 170,34 170,34 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-03 1 1 170,63 170,63 170,63 170,63 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-04 1 1 170,3 170,3 170,3 170,3 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-05 1 1 169,65 169,65 169,65 169,65 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-06 1 1 168,5 168,5 168,5 168,5 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-07 1 1 168,73 168,73 168,73 168,73 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-10 1 1 169,08 169,08 169,08 169,08 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-11 1 1 169,32 169,32 169,32 169,32 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-12 1 1 168,39 168,39 168,39 168,39 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-13 1 1 167,6 167,6 167,6 167,6 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-14 1 1 167,46 167,46 167,46 167,46 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-17 1 1 167,32 167,32 167,32 167,32 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-18 1 1 166,76 166,76 166,76 166,76 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-19 1 1 165,58 165,58 165,58 165,58 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-20 1 1 165,9 165,9 165,9 165,9 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-21 1 1 164,98 164,98 164,98 164,98 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-24 1 1 166,15 166,15 166,15 166,15 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-25 1 1 167,09 167,09 167,09 167,09 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-26 1 1 167,4 167,4 167,4 167,4 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-27 1 1 166,13 166,13 166,13 166,13 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-28 1 1 166,09 166,09 166,09 166,09 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-10-31 1 1 168,52 168,52 168,52 168,52 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-01 1 1 168,65 168,65 168,65 168,65 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-02 1 1 168,83 168,83 168,83 168,83 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-03 1 1 169,61 169,61 169,61 169,61 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-04 1 1 169,45 169,45 169,45 169,45 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-07 1 1 170,05 170,05 170,05 170,05 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-08 1 1 169,73 169,73 169,73 169,73 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-09 1 1 169,88 169,88 169,88 169,88 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-10 1 1 170,07 170,07 170,07 170,07 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-11 1 1 171,1 171,1 171,1 171,1 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-14 1 1 171,44 171,44 171,44 171,44 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-15 1 1 171,44 171,44 171,44 171,44 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-16 1 1 171,57 171,57 171,57 171,57 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-17 1 1 171,74 171,74 171,74 171,74 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-18 1 1 172,03 172,03 172,03 172,03 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-21 1 1 172,58 172,58 172,58 172,58 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-22 1 1 172,11 172,11 172,11 172,11 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-23 1 1 172,53 172,53 172,53 172,53 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-24 1 1 172,26 172,26 172,26 172,26 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-25 1 1 172,39 172,39 172,39 172,39 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-28 1 1 172,72 172,72 172,72 172,72 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-29 1 1 172,54 172,54 172,54 172,54 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-11-30 1 1 171,9 171,9 171,9 171,9 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-01 1 1 173,27 173,27 173,27 173,27 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-02 1 1 174,22 174,22 174,22 174,22 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-05 1 1 173,59 173,59 173,59 173,59 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-06 1 1 174,37 174,37 174,37 174,37 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-07 1 1 174,63 174,63 174,63 174,63 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-08 1 1 174,74 174,74 174,74 174,74 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-12 1 1 174,99 174,99 174,99 174,99 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-13 1 1 174,97 174,97 174,97 174,97 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-14 1 1 174,63 174,63 174,63 174,63 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-15 1 1 174,57 174,57 174,57 174,57 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-16 1 1 175,26 175,26 175,26 175,26 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-19 1 1 175,71 175,71 175,71 175,71 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-20 1 1 175,64 175,64 175,64 175,64 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-21 1 1 176,41 176,41 176,41 176,41 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-22 1 1 176,7 176,7 176,7 176,7 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-23 1 1 177,4 177,4 177,4 177,4 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-27 1 1 178,17 178,17 178,17 178,17 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-28 1 1 177,73 177,73 177,73 177,73 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-29 1 1 178,44 178,44 178,44 178,44 821447 E. Öhman J:or Fonder AB Öhman Mixturfond - Aktiv Förmögenhetsförvaltning SEK 2005-12-30 1 1 178,02 178,02 178,02 178,02 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-03 1 1 123,71 123,71 123,71 123,71 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-04 1 1 124,56 124,56 124,56 124,56 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-05 1 1 123,47 123,47 123,47 123,47 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-07 1 1 124,69 124,69 124,69 124,69 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-10 1 1 125,71 125,71 125,71 125,71 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-11 1 1 124,52 124,52 124,52 124,52 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-12 1 1 123,17 123,17 123,17 123,17 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-13 1 1 123,43 123,43 123,43 123,43 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-14 1 1 124,4 124,4 124,4 124,4 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-17 1 1 125,09 125,09 125,09 125,09 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-18 1 1 124,64 124,64 124,64 124,64 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-19 1 1 124,58 124,58 124,58 124,58 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-20 1 1 123,25 123,25 123,25 123,25 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-21 1 1 123,39 123,39 123,39 123,39 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-24 1 1 122,62 122,62 122,62 122,62 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-25 1 1 123,91 123,91 123,91 123,91 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-26 1 1 123,99 123,99 123,99 123,99 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-27 1 1 124,7 124,7 124,7 124,7 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-28 1 1 124,12 124,12 124,12 124,12 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-01-31 1 1 125,25 125,25 125,25 125,25 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-01 1 1 126,12 126,12 126,12 126,12 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-02 1 1 126,88 126,88 126,88 126,88 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-03 1 1 126,7 126,7 126,7 126,7 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-04 1 1 127,97 127,97 127,97 127,97 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-07 1 1 129,1 129,1 129,1 129,1 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-08 1 1 129,17 129,17 129,17 129,17 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-09 1 1 129,57 129,57 129,57 129,57 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-10 1 1 128,61 128,61 128,61 128,61 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-11 1 1 130,24 130,24 130,24 130,24 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-14 1 1 129,97 129,97 129,97 129,97 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-15 1 1 130,6 130,6 130,6 130,6 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-16 1 1 130,32 130,32 130,32 130,32 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-17 1 1 130,71 130,71 130,71 130,71 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-18 1 1 130,28 130,28 130,28 130,28 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-21 1 1 130,76 130,76 130,76 130,76 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-22 1 1 130,52 130,52 130,52 130,52 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-23 1 1 130,34 130,34 130,34 130,34 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-24 1 1 130,74 130,74 130,74 130,74 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-25 1 1 131,68 131,68 131,68 131,68 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-02-28 1 1 132,02 132,02 132,02 132,02 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-01 1 1 132,47 132,47 132,47 132,47 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-02 1 1 133,08 133,08 133,08 133,08 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-03 1 1 133,3 133,3 133,3 133,3 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-04 1 1 134,14 134,14 134,14 134,14 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-07 1 1 133,75 133,75 133,75 133,75 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-08 1 1 133,14 133,14 133,14 133,14 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-09 1 1 132,88 132,88 132,88 132,88 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-10 1 1 131,96 131,96 131,96 131,96 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-11 1 1 132,35 132,35 132,35 132,35 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-14 1 1 133,03 133,03 133,03 133,03 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-15 1 1 134,02 134,02 134,02 134,02 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-16 1 1 132,2 132,2 132,2 132,2 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-17 1 1 132,86 132,86 132,86 132,86 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-18 1 1 132,47 132,47 132,47 132,47 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-21 1 1 132,09 132,09 132,09 132,09 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-22 1 1 132,38 132,38 132,38 132,38 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-23 1 1 132,23 132,23 132,23 132,23 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-24 1 1 132,29 132,29 132,29 132,29 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-29 1 1 134,37 134,37 134,37 134,37 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-30 1 1 133,79 133,79 133,79 133,79 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-03-31 1 1 134,4 134,4 134,4 134,4 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-01 1 1 135,87 135,87 135,87 135,87 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-04 1 1 135,24 135,24 135,24 135,24 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-05 1 1 136,74 136,74 136,74 136,74 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-06 1 1 137,17 137,17 137,17 137,17 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-07 1 1 137,66 137,66 137,66 137,66 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-08 1 1 138,33 138,33 138,33 138,33 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-11 1 1 138,4 138,4 138,4 138,4 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-12 1 1 137,78 137,78 137,78 137,78 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-13 1 1 138,14 138,14 138,14 138,14 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-14 1 1 138,48 138,48 138,48 138,48 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-15 1 1 136,4 136,4 136,4 136,4 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-18 1 1 134,84 134,84 134,84 134,84 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-19 1 1 135,7 135,7 135,7 135,7 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-20 1 1 135,99 135,99 135,99 135,99 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-21 1 1 135,77 135,77 135,77 135,77 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-22 1 1 137,01 137,01 137,01 137,01 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-25 1 1 137,06 137,06 137,06 137,06 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-26 1 1 136,37 136,37 136,37 136,37 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-27 1 1 133,35 133,35 133,35 133,35 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-28 1 1 132,55 132,55 132,55 132,55 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-04-29 1 1 132,95 132,95 132,95 132,95 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-02 1 1 132,95 132,95 132,95 132,95 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-03 1 1 133,75 133,75 133,75 133,75 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-04 1 1 133,46 133,46 133,46 133,46 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-06 1 1 135,52 135,52 135,52 135,52 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-09 1 1 135,82 135,82 135,82 135,82 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-10 1 1 135,36 135,36 135,36 135,36 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-11 1 1 136,16 136,16 136,16 136,16 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-12 1 1 136,56 136,56 136,56 136,56 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-13 1 1 136,69 136,69 136,69 136,69 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-16 1 1 137,04 137,04 137,04 137,04 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-17 1 1 137,17 137,17 137,17 137,17 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-18 1 1 138,51 138,51 138,51 138,51 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-19 1 1 138,83 138,83 138,83 138,83 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-20 1 1 139,49 139,49 139,49 139,49 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-23 1 1 139,7 139,7 139,7 139,7 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-24 1 1 139,53 139,53 139,53 139,53 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-25 1 1 139,48 139,48 139,48 139,48 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-26 1 1 141,17 141,17 141,17 141,17 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-27 1 1 141,37 141,37 141,37 141,37 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-30 1 1 141,38 141,38 141,38 141,38 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-05-31 1 1 141,38 141,38 141,38 141,38 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-01 1 1 141,79 141,79 141,79 141,79 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-02 1 1 141,66 141,66 141,66 141,66 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-03 1 1 141,37 141,37 141,37 141,37 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-07 1 1 142,13 142,13 142,13 142,13 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-08 1 1 142,95 142,95 142,95 142,95 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-09 1 1 142,71 142,71 142,71 142,71 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-10 1 1 144,01 144,01 144,01 144,01 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-13 1 1 145,11 145,11 145,11 145,11 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-14 1 1 143,15 143,15 143,15 143,15 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-15 1 1 142,82 142,82 142,82 142,82 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-16 1 1 143,46 143,46 143,46 143,46 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-17 1 1 143,08 143,08 143,08 143,08 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-20 1 1 143,35 143,35 143,35 143,35 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-21 1 1 144,01 144,01 144,01 144,01 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-22 1 1 144,3 144,3 144,3 144,3 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-23 1 1 145,65 145,65 145,65 145,65 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-27 1 1 143,69 143,69 143,69 143,69 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-28 1 1 144,58 144,58 144,58 144,58 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-29 1 1 146,12 146,12 146,12 146,12 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-06-30 1 1 146,24 146,24 146,24 146,24 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-01 1 1 147,26 147,26 147,26 147,26 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-04 1 1 147,66 147,66 147,66 147,66 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-05 1 1 147,54 147,54 147,54 147,54 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-06 1 1 147,32 147,32 147,32 147,32 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-07 1 1 145,73 145,73 145,73 145,73 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-08 1 1 148,15 148,15 148,15 148,15 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-11 1 1 149,48 149,48 149,48 149,48 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-12 1 1 149,07 149,07 149,07 149,07 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-13 1 1 148,69 148,69 148,69 148,69 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-14 1 1 149,08 149,08 149,08 149,08 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-15 1 1 149,04 149,04 149,04 149,04 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-18 1 1 149,06 149,06 149,06 149,06 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-19 1 1 150,02 150,02 150,02 150,02 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-20 1 1 149,8 149,8 149,8 149,8 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-21 1 1 149,21 149,21 149,21 149,21 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-22 1 1 149,83 149,83 149,83 149,83 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-25 1 1 149,97 149,97 149,97 149,97 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-26 1 1 150,3 150,3 150,3 150,3 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-27 1 1 151,01 151,01 151,01 151,01 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-28 1 1 151,97 151,97 151,97 151,97 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-07-29 1 1 152,24 152,24 152,24 152,24 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-01 1 1 152,25 152,25 152,25 152,25 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-02 1 1 153,19 153,19 153,19 153,19 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-03 1 1 153,23 153,23 153,23 153,23 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-04 1 1 152,04 152,04 152,04 152,04 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-05 1 1 151,21 151,21 151,21 151,21 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-08 1 1 151,5 151,5 151,5 151,5 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-09 1 1 152,26 152,26 152,26 152,26 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-10 1 1 153,05 153,05 153,05 153,05 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-11 1 1 151,91 151,91 151,91 151,91 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-12 1 1 151,83 151,83 151,83 151,83 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-15 1 1 151,59 151,59 151,59 151,59 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-16 1 1 151,61 151,61 151,61 151,61 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-17 1 1 152,83 152,83 152,83 152,83 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-18 1 1 152,41 152,41 152,41 152,41 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-19 1 1 153,51 153,51 153,51 153,51 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-22 1 1 153,58 153,58 153,58 153,58 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-23 1 1 152,69 152,69 152,69 152,69 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-24 1 1 151,48 151,48 151,48 151,48 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-25 1 1 150,23 150,23 150,23 150,23 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-26 1 1 149,31 149,31 149,31 149,31 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-29 1 1 149,98 149,98 149,98 149,98 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-30 1 1 151,26 151,26 151,26 151,26 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-08-31 1 1 152,27 152,27 152,27 152,27 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-01 1 1 152,72 152,72 152,72 152,72 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-02 1 1 152,21 152,21 152,21 152,21 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-05 1 1 152,97 152,97 152,97 152,97 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-06 1 1 153,9 153,9 153,9 153,9 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-07 1 1 154,27 154,27 154,27 154,27 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-08 1 1 153,72 153,72 153,72 153,72 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-09 1 1 154,66 154,66 154,66 154,66 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-12 1 1 154,62 154,62 154,62 154,62 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-13 1 1 155,3 155,3 155,3 155,3 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-14 1 1 155,54 155,54 155,54 155,54 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-15 1 1 155,58 155,58 155,58 155,58 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-16 1 1 155,92 155,92 155,92 155,92 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-19 1 1 156,55 156,55 156,55 156,55 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-20 1 1 156,91 156,91 156,91 156,91 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-21 1 1 156,24 156,24 156,24 156,24 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-22 1 1 156,08 156,08 156,08 156,08 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-23 1 1 156,25 156,25 156,25 156,25 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-26 1 1 157,63 157,63 157,63 157,63 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-27 1 1 157,9 157,9 157,9 157,9 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-28 1 1 158,46 158,46 158,46 158,46 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-29 1 1 158,37 158,37 158,37 158,37 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-09-30 1 1 159,33 159,33 159,33 159,33 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-03 1 1 160,27 160,27 160,27 160,27 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-04 1 1 160,08 160,08 160,08 160,08 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-05 1 1 160,05 160,05 160,05 160,05 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-06 1 1 158,23 158,23 158,23 158,23 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-07 1 1 158,4 158,4 158,4 158,4 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-10 1 1 159,55 159,55 159,55 159,55 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-11 1 1 159,46 159,46 159,46 159,46 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-12 1 1 158,33 158,33 158,33 158,33 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-13 1 1 156,49 156,49 156,49 156,49 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-14 1 1 156,51 156,51 156,51 156,51 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-17 1 1 156,98 156,98 156,98 156,98 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-18 1 1 155,75 155,75 155,75 155,75 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-19 1 1 153,73 153,73 153,73 153,73 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-20 1 1 153,94 153,94 153,94 153,94 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-21 1 1 152,41 152,41 152,41 152,41 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-24 1 1 155,13 155,13 155,13 155,13 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-25 1 1 155,72 155,72 155,72 155,72 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-26 1 1 156,53 156,53 156,53 156,53 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-27 1 1 155,44 155,44 155,44 155,44 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-28 1 1 155,6 155,6 155,6 155,6 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-10-31 1 1 159,33 159,33 159,33 159,33 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-01 1 1 160,02 160,02 160,02 160,02 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-02 1 1 160,41 160,41 160,41 160,41 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-03 1 1 162,37 162,37 162,37 162,37 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-04 1 1 162,23 162,23 162,23 162,23 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-07 1 1 163,32 163,32 163,32 163,32 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-08 1 1 163,13 163,13 163,13 163,13 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-09 1 1 163,79 163,79 163,79 163,79 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-10 1 1 164,45 164,45 164,45 164,45 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-11 1 1 165,22 165,22 165,22 165,22 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-14 1 1 165,43 165,43 165,43 165,43 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-15 1 1 165,21 165,21 165,21 165,21 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-16 1 1 164,62 164,62 164,62 164,62 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-17 1 1 165,3 165,3 165,3 165,3 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-18 1 1 165,78 165,78 165,78 165,78 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-21 1 1 165,83 165,83 165,83 165,83 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-22 1 1 165,05 165,05 165,05 165,05 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-23 1 1 165,41 165,41 165,41 165,41 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-24 1 1 164,01 164,01 164,01 164,01 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-25 1 1 164,26 164,26 164,26 164,26 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-28 1 1 163,84 163,84 163,84 163,84 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-29 1 1 163,86 163,86 163,86 163,86 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-11-30 1 1 163,51 163,51 163,51 163,51 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-01 1 1 165,44 165,44 165,44 165,44 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-02 1 1 166,23 166,23 166,23 166,23 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-05 1 1 165,52 165,52 165,52 165,52 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-06 1 1 166,16 166,16 166,16 166,16 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-07 1 1 167,48 167,48 167,48 167,48 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-08 1 1 167,91 167,91 167,91 167,91 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-12 1 1 168,27 168,27 168,27 168,27 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-13 1 1 167,92 167,92 167,92 167,92 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-14 1 1 167,49 167,49 167,49 167,49 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-15 1 1 167,21 167,21 167,21 167,21 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-16 1 1 168,13 168,13 168,13 168,13 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-19 1 1 168,24 168,24 168,24 168,24 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-20 1 1 168,68 168,68 168,68 168,68 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-21 1 1 169,6 169,6 169,6 169,6 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-22 1 1 169,88 169,88 169,88 169,88 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-23 1 1 170,86 170,86 170,86 170,86 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-27 1 1 172,08 172,08 172,08 172,08 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-28 1 1 170,86 170,86 170,86 170,86 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-29 1 1 171,77 171,77 171,77 171,77 857276 E. Öhman J:or Fonder AB Öhman Nordisk Miljöfond SEK 2005-12-30 1 1 170,93 170,93 170,93 170,93 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-03 1 1 121,76 121,76 121,76 121,76 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-04 1 1 121,78 121,78 121,78 121,78 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-05 1 1 121,57 121,57 121,57 121,57 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-07 1 1 122,02 122,02 122,02 122,02 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-10 1 1 122,17 122,17 122,17 122,17 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-11 1 1 122,19 122,19 122,19 122,19 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-12 1 1 122,2 122,2 122,2 122,2 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-13 1 1 122,38 122,38 122,38 122,38 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-14 1 1 122,43 122,43 122,43 122,43 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-17 1 1 122,53 122,53 122,53 122,53 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-18 1 1 122,46 122,46 122,46 122,46 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-19 1 1 122,65 122,65 122,65 122,65 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-20 1 1 122,43 122,43 122,43 122,43 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-21 1 1 122,59 122,59 122,59 122,59 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-24 1 1 122,82 122,82 122,82 122,82 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-25 1 1 122,78 122,78 122,78 122,78 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-26 1 1 122,68 122,68 122,68 122,68 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-27 1 1 122,58 122,58 122,58 122,58 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-28 1 1 122,83 122,83 122,83 122,83 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-01-31 1 1 122,85 122,85 122,85 122,85 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-01 1 1 123,02 123,02 123,02 123,02 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-02 1 1 123 123 123 123 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-03 1 1 122,92 122,92 122,92 122,92 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-04 1 1 123,15 123,15 123,15 123,15 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-07 1 1 123,23 123,23 123,23 123,23 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-08 1 1 123,18 123,18 123,18 123,18 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-09 1 1 123,4 123,4 123,4 123,4 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-10 1 1 123,58 123,58 123,58 123,58 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-11 1 1 123,53 123,53 123,53 123,53 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-14 1 1 123,36 123,36 123,36 123,36 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-15 1 1 123,34 123,34 123,34 123,34 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-16 1 1 123,4 123,4 123,4 123,4 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-17 1 1 123,32 123,32 123,32 123,32 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-18 1 1 122,87 122,87 122,87 122,87 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-21 1 1 122,74 122,74 122,74 122,74 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-22 1 1 122,61 122,61 122,61 122,61 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-23 1 1 122,83 122,83 122,83 122,83 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-24 1 1 122,66 122,66 122,66 122,66 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-25 1 1 122,6 122,6 122,6 122,6 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-02-28 1 1 122,76 122,76 122,76 122,76 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-01 1 1 122,73 122,73 122,73 122,73 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-02 1 1 122,52 122,52 122,52 122,52 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-03 1 1 122,63 122,63 122,63 122,63 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-04 1 1 122,91 122,91 122,91 122,91 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-07 1 1 123,08 123,08 123,08 123,08 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-08 1 1 123,17 123,17 123,17 123,17 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-09 1 1 122,96 122,96 122,96 122,96 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-10 1 1 122,97 122,97 122,97 122,97 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-11 1 1 122,82 122,82 122,82 122,82 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-14 1 1 122,82 122,82 122,82 122,82 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-15 1 1 123,02 123,02 123,02 123,02 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-16 1 1 122,91 122,91 122,91 122,91 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-17 1 1 122,98 122,98 122,98 122,98 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-18 1 1 122,94 122,94 122,94 122,94 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-21 1 1 122,85 122,85 122,85 122,85 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-22 1 1 123,01 123,01 123,01 123,01 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-23 1 1 122,94 122,94 122,94 122,94 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-24 1 1 123 123 123 123 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-29 1 1 123,07 123,07 123,07 123,07 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-30 1 1 123,05 123,05 123,05 123,05 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-03-31 1 1 123,33 123,33 123,33 123,33 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-01 1 1 123,52 123,52 123,52 123,52 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-04 1 1 123,6 123,6 123,6 123,6 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-05 1 1 123,6 123,6 123,6 123,6 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-06 1 1 123,7 123,7 123,7 123,7 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-07 1 1 123,79 123,79 123,79 123,79 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-08 1 1 123,64 123,64 123,64 123,64 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-11 1 1 123,77 123,77 123,77 123,77 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-12 1 1 123,82 123,82 123,82 123,82 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-13 1 1 124,02 124,02 124,02 124,02 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-14 1 1 124,1 124,1 124,1 124,1 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-15 1 1 124,34 124,34 124,34 124,34 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-18 1 1 124,43 124,43 124,43 124,43 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-19 1 1 124,48 124,48 124,48 124,48 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-20 1 1 124,49 124,49 124,49 124,49 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-21 1 1 124,52 124,52 124,52 124,52 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-22 1 1 124,69 124,69 124,69 124,69 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-25 1 1 124,8 124,8 124,8 124,8 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-26 1 1 124,9 124,9 124,9 124,9 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-27 1 1 125,13 125,13 125,13 125,13 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-28 1 1 125,27 125,27 125,27 125,27 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-04-29 1 1 125,34 125,34 125,34 125,34 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-02 1 1 125,44 125,44 125,44 125,44 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-03 1 1 125,49 125,49 125,49 125,49 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-04 1 1 125,15 125,15 125,15 125,15 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-06 1 1 124,85 124,85 124,85 124,85 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-09 1 1 124,97 124,97 124,97 124,97 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-10 1 1 125,44 125,44 125,44 125,44 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-11 1 1 125,61 125,61 125,61 125,61 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-12 1 1 125,49 125,49 125,49 125,49 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-13 1 1 125,74 125,74 125,74 125,74 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-16 1 1 125,78 125,78 125,78 125,78 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-17 1 1 125,81 125,81 125,81 125,81 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-18 1 1 126,12 126,12 126,12 126,12 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-19 1 1 126,01 126,01 126,01 126,01 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-20 1 1 125,76 125,76 125,76 125,76 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-23 1 1 125,84 125,84 125,84 125,84 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-24 1 1 125,99 125,99 125,99 125,99 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-25 1 1 126,16 126,16 126,16 126,16 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-26 1 1 125,88 125,88 125,88 125,88 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-27 1 1 125,96 125,96 125,96 125,96 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-30 1 1 125,81 125,81 125,81 125,81 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-05-31 1 1 126,21 126,21 126,21 126,21 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-01 1 1 126,48 126,48 126,48 126,48 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-02 1 1 126,55 126,55 126,55 126,55 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-03 1 1 126,93 126,93 126,93 126,93 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-07 1 1 126,91 126,91 126,91 126,91 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-08 1 1 127,39 127,39 127,39 127,39 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-09 1 1 127,4 127,4 127,4 127,4 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-10 1 1 127,36 127,36 127,36 127,36 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-13 1 1 127,32 127,32 127,32 127,32 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-14 1 1 118,68 118,68 118,68 118,68 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-15 1 1 118,43 118,43 118,43 118,43 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-16 1 1 118,27 118,27 118,27 118,27 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-17 1 1 118,5 118,5 118,5 118,5 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-20 1 1 118,46 118,46 118,46 118,46 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-21 1 1 119,08 119,08 119,08 119,08 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-22 1 1 119,46 119,46 119,46 119,46 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-23 1 1 119,43 119,43 119,43 119,43 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-27 1 1 119,61 119,61 119,61 119,61 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-28 1 1 119,46 119,46 119,46 119,46 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-29 1 1 119,62 119,62 119,62 119,62 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-06-30 1 1 119,61 119,61 119,61 119,61 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-01 1 1 119,72 119,72 119,72 119,72 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-04 1 1 119,51 119,51 119,51 119,51 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-05 1 1 119,29 119,29 119,29 119,29 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-06 1 1 119,36 119,36 119,36 119,36 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-07 1 1 119,59 119,59 119,59 119,59 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-08 1 1 119,63 119,63 119,63 119,63 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-11 1 1 119,43 119,43 119,43 119,43 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-12 1 1 119,33 119,33 119,33 119,33 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-13 1 1 119,25 119,25 119,25 119,25 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-14 1 1 119,15 119,15 119,15 119,15 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-15 1 1 119,11 119,11 119,11 119,11 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-18 1 1 119,2 119,2 119,2 119,2 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-19 1 1 119,16 119,16 119,16 119,16 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-20 1 1 119,21 119,21 119,21 119,21 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-21 1 1 119,28 119,28 119,28 119,28 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-22 1 1 119,49 119,49 119,49 119,49 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-25 1 1 119,59 119,59 119,59 119,59 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-26 1 1 119,5 119,5 119,5 119,5 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-27 1 1 119,68 119,68 119,68 119,68 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-28 1 1 119,54 119,54 119,54 119,54 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-07-29 1 1 119,35 119,35 119,35 119,35 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-01 1 1 119 119 119 119 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-02 1 1 118,84 118,84 118,84 118,84 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-03 1 1 118,72 118,72 118,72 118,72 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-04 1 1 118,87 118,87 118,87 118,87 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-05 1 1 118,63 118,63 118,63 118,63 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-08 1 1 118,62 118,62 118,62 118,62 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-09 1 1 118,64 118,64 118,64 118,64 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-10 1 1 118,81 118,81 118,81 118,81 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-11 1 1 118,81 118,81 118,81 118,81 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-12 1 1 118,92 118,92 118,92 118,92 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-15 1 1 119 119 119 119 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-16 1 1 119,07 119,07 119,07 119,07 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-17 1 1 119,06 119,06 119,06 119,06 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-18 1 1 119,05 119,05 119,05 119,05 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-19 1 1 119,01 119,01 119,01 119,01 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-22 1 1 119,13 119,13 119,13 119,13 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-23 1 1 119,35 119,35 119,35 119,35 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-24 1 1 119,34 119,34 119,34 119,34 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-25 1 1 119,52 119,52 119,52 119,52 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-26 1 1 119,56 119,56 119,56 119,56 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-29 1 1 119,47 119,47 119,47 119,47 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-30 1 1 119,47 119,47 119,47 119,47 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-08-31 1 1 119,74 119,74 119,74 119,74 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-01 1 1 119,95 119,95 119,95 119,95 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-02 1 1 120,03 120,03 120,03 120,03 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-05 1 1 120,11 120,11 120,11 120,11 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-06 1 1 119,99 119,99 119,99 119,99 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-07 1 1 120,01 120,01 120,01 120,01 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-08 1 1 120,16 120,16 120,16 120,16 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-09 1 1 120,29 120,29 120,29 120,29 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-12 1 1 119,98 119,98 119,98 119,98 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-13 1 1 120,04 120,04 120,04 120,04 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-14 1 1 119,98 119,98 119,98 119,98 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-15 1 1 119,91 119,91 119,91 119,91 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-16 1 1 119,82 119,82 119,82 119,82 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-19 1 1 119,8 119,8 119,8 119,8 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-20 1 1 119,98 119,98 119,98 119,98 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-21 1 1 120,23 120,23 120,23 120,23 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-22 1 1 120,17 120,17 120,17 120,17 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-23 1 1 119,99 119,99 119,99 119,99 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-26 1 1 119,85 119,85 119,85 119,85 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-27 1 1 119,85 119,85 119,85 119,85 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-28 1 1 119,77 119,77 119,77 119,77 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-29 1 1 119,57 119,57 119,57 119,57 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-09-30 1 1 119,61 119,61 119,61 119,61 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-03 1 1 119,33 119,33 119,33 119,33 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-04 1 1 119,41 119,41 119,41 119,41 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-05 1 1 119,46 119,46 119,46 119,46 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-06 1 1 119,4 119,4 119,4 119,4 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-07 1 1 119,35 119,35 119,35 119,35 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-10 1 1 119,35 119,35 119,35 119,35 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-11 1 1 119,3 119,3 119,3 119,3 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-12 1 1 119,22 119,22 119,22 119,22 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-13 1 1 119,16 119,16 119,16 119,16 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-14 1 1 119,17 119,17 119,17 119,17 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-17 1 1 119,17 119,17 119,17 119,17 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-18 1 1 119,18 119,18 119,18 119,18 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-19 1 1 119,35 119,35 119,35 119,35 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-20 1 1 119,24 119,24 119,24 119,24 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-21 1 1 119,35 119,35 119,35 119,35 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-24 1 1 119,42 119,42 119,42 119,42 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-25 1 1 119,28 119,28 119,28 119,28 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-26 1 1 118,99 118,99 118,99 118,99 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-27 1 1 119 119 119 119 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-28 1 1 118,96 118,96 118,96 118,96 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-10-31 1 1 118,89 118,89 118,89 118,89 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-01 1 1 118,85 118,85 118,85 118,85 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-02 1 1 118,69 118,69 118,69 118,69 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-03 1 1 118,59 118,59 118,59 118,59 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-04 1 1 118,41 118,41 118,41 118,41 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-07 1 1 118,31 118,31 118,31 118,31 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-08 1 1 118,41 118,41 118,41 118,41 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-09 1 1 118,26 118,26 118,26 118,26 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-10 1 1 118,31 118,31 118,31 118,31 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-11 1 1 118,41 118,41 118,41 118,41 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-14 1 1 118,51 118,51 118,51 118,51 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-15 1 1 118,42 118,42 118,42 118,42 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-16 1 1 118,75 118,75 118,75 118,75 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-17 1 1 118,65 118,65 118,65 118,65 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-18 1 1 118,26 118,26 118,26 118,26 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-21 1 1 118,53 118,53 118,53 118,53 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-22 1 1 118,52 118,52 118,52 118,52 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-23 1 1 118,62 118,62 118,62 118,62 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-24 1 1 118,94 118,94 118,94 118,94 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-25 1 1 118,77 118,77 118,77 118,77 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-28 1 1 118,81 118,81 118,81 118,81 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-29 1 1 118,76 118,76 118,76 118,76 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-11-30 1 1 118,61 118,61 118,61 118,61 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-01 1 1 118,78 118,78 118,78 118,78 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-02 1 1 118,55 118,55 118,55 118,55 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-05 1 1 118,3 118,3 118,3 118,3 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-06 1 1 118,35 118,35 118,35 118,35 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-07 1 1 118,39 118,39 118,39 118,39 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-08 1 1 118,42 118,42 118,42 118,42 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-12 1 1 118,22 118,22 118,22 118,22 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-13 1 1 118,38 118,38 118,38 118,38 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-14 1 1 118,64 118,64 118,64 118,64 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-15 1 1 118,74 118,74 118,74 118,74 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-16 1 1 118,74 118,74 118,74 118,74 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-19 1 1 118,92 118,92 118,92 118,92 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-20 1 1 118,87 118,87 118,87 118,87 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-21 1 1 118,63 118,63 118,63 118,63 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-22 1 1 118,54 118,54 118,54 118,54 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-23 1 1 118,63 118,63 118,63 118,63 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-27 1 1 118,84 118,84 118,84 118,84 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-28 1 1 118,85 118,85 118,85 118,85 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-29 1 1 118,82 118,82 118,82 118,82 330746 E. Öhman J:or Fonder AB Öhman Obligationsfond SEK 2005-12-30 1 1 118,92 118,92 118,92 118,92 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-03 1 1 96,2 96,2 96,2 96,2 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-04 1 1 96,2 96,2 96,2 96,2 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-05 1 1 96,2 96,2 96,2 96,2 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-07 1 1 96,21 96,21 96,21 96,21 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-10 1 1 96,23 96,23 96,23 96,23 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-11 1 1 96,24 96,24 96,24 96,24 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-12 1 1 96,24 96,24 96,24 96,24 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-13 1 1 96,25 96,25 96,25 96,25 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-14 1 1 96,25 96,25 96,25 96,25 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-17 1 1 96,27 96,27 96,27 96,27 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-18 1 1 96,27 96,27 96,27 96,27 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-19 1 1 96,28 96,28 96,28 96,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-20 1 1 96,28 96,28 96,28 96,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-21 1 1 96,29 96,29 96,29 96,29 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-24 1 1 96,31 96,31 96,31 96,31 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-25 1 1 96,31 96,31 96,31 96,31 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-26 1 1 96,32 96,32 96,32 96,32 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-27 1 1 96,32 96,32 96,32 96,32 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-28 1 1 96,33 96,33 96,33 96,33 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-01-31 1 1 96,34 96,34 96,34 96,34 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-01 1 1 96,35 96,35 96,35 96,35 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-02 1 1 96,35 96,35 96,35 96,35 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-03 1 1 96,36 96,36 96,36 96,36 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-04 1 1 96,36 96,36 96,36 96,36 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-07 1 1 96,38 96,38 96,38 96,38 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-08 1 1 96,38 96,38 96,38 96,38 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-09 1 1 96,39 96,39 96,39 96,39 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-10 1 1 96,39 96,39 96,39 96,39 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-11 1 1 96,4 96,4 96,4 96,4 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-14 1 1 96,41 96,41 96,41 96,41 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-15 1 1 96,42 96,42 96,42 96,42 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-16 1 1 96,42 96,42 96,42 96,42 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-17 1 1 96,43 96,43 96,43 96,43 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-18 1 1 96,43 96,43 96,43 96,43 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-21 1 1 96,44 96,44 96,44 96,44 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-22 1 1 96,45 96,45 96,45 96,45 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-23 1 1 96,45 96,45 96,45 96,45 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-24 1 1 96,46 96,46 96,46 96,46 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-25 1 1 96,46 96,46 96,46 96,46 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-02-28 1 1 96,5 96,5 96,5 96,5 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-01 1 1 96,51 96,51 96,51 96,51 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-02 1 1 96,52 96,52 96,52 96,52 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-03 1 1 96,52 96,52 96,52 96,52 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-04 1 1 96,53 96,53 96,53 96,53 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-07 1 1 96,54 96,54 96,54 96,54 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-08 1 1 96,55 96,55 96,55 96,55 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-09 1 1 96,56 96,56 96,56 96,56 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-10 1 1 96,56 96,56 96,56 96,56 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-11 1 1 96,56 96,56 96,56 96,56 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-14 1 1 96,58 96,58 96,58 96,58 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-15 1 1 96,58 96,58 96,58 96,58 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-16 1 1 96,56 96,56 96,56 96,56 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-17 1 1 96,57 96,57 96,57 96,57 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-18 1 1 96,57 96,57 96,57 96,57 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-21 1 1 96,58 96,58 96,58 96,58 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-22 1 1 96,59 96,59 96,59 96,59 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-23 1 1 96,59 96,59 96,59 96,59 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-24 1 1 96,59 96,59 96,59 96,59 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-29 1 1 96,61 96,61 96,61 96,61 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-30 1 1 96,63 96,63 96,63 96,63 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-03-31 1 1 96,63 96,63 96,63 96,63 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-01 1 1 96,63 96,63 96,63 96,63 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-04 1 1 96,62 96,62 96,62 96,62 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-05 1 1 96,65 96,65 96,65 96,65 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-06 1 1 96,65 96,65 96,65 96,65 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-07 1 1 96,66 96,66 96,66 96,66 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-08 1 1 96,66 96,66 96,66 96,66 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-11 1 1 96,68 96,68 96,68 96,68 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-12 1 1 96,68 96,68 96,68 96,68 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-13 1 1 96,69 96,69 96,69 96,69 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-14 1 1 96,7 96,7 96,7 96,7 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-15 1 1 96,7 96,7 96,7 96,7 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-18 1 1 96,72 96,72 96,72 96,72 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-19 1 1 96,72 96,72 96,72 96,72 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-20 1 1 96,73 96,73 96,73 96,73 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-21 1 1 96,73 96,73 96,73 96,73 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-22 1 1 96,73 96,73 96,73 96,73 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-25 1 1 96,75 96,75 96,75 96,75 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-26 1 1 96,75 96,75 96,75 96,75 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-27 1 1 96,76 96,76 96,76 96,76 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-28 1 1 96,75 96,75 96,75 96,75 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-04-29 1 1 96,78 96,78 96,78 96,78 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-02 1 1 96,79 96,79 96,79 96,79 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-03 1 1 96,81 96,81 96,81 96,81 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-04 1 1 96,81 96,81 96,81 96,81 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-06 1 1 96,81 96,81 96,81 96,81 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-09 1 1 96,83 96,83 96,83 96,83 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-10 1 1 96,85 96,85 96,85 96,85 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-11 1 1 96,86 96,86 96,86 96,86 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-12 1 1 96,85 96,85 96,85 96,85 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-13 1 1 96,87 96,87 96,87 96,87 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-16 1 1 96,88 96,88 96,88 96,88 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-17 1 1 96,89 96,89 96,89 96,89 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-18 1 1 96,91 96,91 96,91 96,91 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-19 1 1 96,91 96,91 96,91 96,91 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-20 1 1 96,9 96,9 96,9 96,9 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-23 1 1 96,92 96,92 96,92 96,92 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-24 1 1 96,93 96,93 96,93 96,93 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-25 1 1 96,93 96,93 96,93 96,93 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-26 1 1 96,93 96,93 96,93 96,93 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-27 1 1 96,93 96,93 96,93 96,93 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-30 1 1 96,94 96,94 96,94 96,94 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-05-31 1 1 96,96 96,96 96,96 96,96 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-01 1 1 96,98 96,98 96,98 96,98 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-02 1 1 96,98 96,98 96,98 96,98 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-03 1 1 96,99 96,99 96,99 96,99 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-07 1 1 97,01 97,01 97,01 97,01 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-08 1 1 97,06 97,06 97,06 97,06 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-09 1 1 97,07 97,07 97,07 97,07 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-10 1 1 97,08 97,08 97,08 97,08 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-13 1 1 97,09 97,09 97,09 97,09 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-14 1 1 94,08 94,08 94,08 94,08 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-15 1 1 94,09 94,09 94,09 94,09 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-16 1 1 94,1 94,1 94,1 94,1 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-17 1 1 94,11 94,11 94,11 94,11 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-20 1 1 94,12 94,12 94,12 94,12 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-21 1 1 94,17 94,17 94,17 94,17 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-22 1 1 94,17 94,17 94,17 94,17 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-23 1 1 94,18 94,18 94,18 94,18 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-27 1 1 94,19 94,19 94,19 94,19 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-28 1 1 94,19 94,19 94,19 94,19 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-29 1 1 94,19 94,19 94,19 94,19 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-06-30 1 1 94,19 94,19 94,19 94,19 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-01 1 1 94,2 94,2 94,2 94,2 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-04 1 1 94,19 94,19 94,19 94,19 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-05 1 1 94,2 94,2 94,2 94,2 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-06 1 1 94,21 94,21 94,21 94,21 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-07 1 1 94,22 94,22 94,22 94,22 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-08 1 1 94,22 94,22 94,22 94,22 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-11 1 1 94,23 94,23 94,23 94,23 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-12 1 1 94,23 94,23 94,23 94,23 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-13 1 1 94,24 94,24 94,24 94,24 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-14 1 1 94,24 94,24 94,24 94,24 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-15 1 1 94,24 94,24 94,24 94,24 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-18 1 1 94,25 94,25 94,25 94,25 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-19 1 1 94,26 94,26 94,26 94,26 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-20 1 1 94,26 94,26 94,26 94,26 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-21 1 1 94,26 94,26 94,26 94,26 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-22 1 1 94,27 94,27 94,27 94,27 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-25 1 1 94,28 94,28 94,28 94,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-26 1 1 94,28 94,28 94,28 94,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-27 1 1 94,28 94,28 94,28 94,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-28 1 1 94,28 94,28 94,28 94,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-07-29 1 1 94,29 94,29 94,29 94,29 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-01 1 1 94,28 94,28 94,28 94,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-02 1 1 94,28 94,28 94,28 94,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-03 1 1 94,28 94,28 94,28 94,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-04 1 1 94,28 94,28 94,28 94,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-05 1 1 94,28 94,28 94,28 94,28 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-08 1 1 94,29 94,29 94,29 94,29 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-09 1 1 94,3 94,3 94,3 94,3 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-10 1 1 94,3 94,3 94,3 94,3 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-11 1 1 94,31 94,31 94,31 94,31 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-12 1 1 94,31 94,31 94,31 94,31 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-15 1 1 94,32 94,32 94,32 94,32 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-16 1 1 94,33 94,33 94,33 94,33 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-17 1 1 94,33 94,33 94,33 94,33 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-18 1 1 94,33 94,33 94,33 94,33 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-19 1 1 94,33 94,33 94,33 94,33 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-22 1 1 94,34 94,34 94,34 94,34 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-23 1 1 94,35 94,35 94,35 94,35 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-24 1 1 94,34 94,34 94,34 94,34 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-25 1 1 94,35 94,35 94,35 94,35 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-26 1 1 94,35 94,35 94,35 94,35 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-29 1 1 94,35 94,35 94,35 94,35 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-30 1 1 94,35 94,35 94,35 94,35 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-08-31 1 1 94,36 94,36 94,36 94,36 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-01 1 1 94,37 94,37 94,37 94,37 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-02 1 1 94,38 94,38 94,38 94,38 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-05 1 1 94,39 94,39 94,39 94,39 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-06 1 1 94,39 94,39 94,39 94,39 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-07 1 1 94,39 94,39 94,39 94,39 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-08 1 1 94,4 94,4 94,4 94,4 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-09 1 1 94,4 94,4 94,4 94,4 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-12 1 1 94,41 94,41 94,41 94,41 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-13 1 1 94,41 94,41 94,41 94,41 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-14 1 1 94,41 94,41 94,41 94,41 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-15 1 1 94,42 94,42 94,42 94,42 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-16 1 1 94,41 94,41 94,41 94,41 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-19 1 1 94,43 94,43 94,43 94,43 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-20 1 1 94,44 94,44 94,44 94,44 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-21 1 1 94,45 94,45 94,45 94,45 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-22 1 1 94,45 94,45 94,45 94,45 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-23 1 1 94,45 94,45 94,45 94,45 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-26 1 1 94,45 94,45 94,45 94,45 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-27 1 1 94,46 94,46 94,46 94,46 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-28 1 1 94,46 94,46 94,46 94,46 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-29 1 1 94,45 94,45 94,45 94,45 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-09-30 1 1 94,44 94,44 94,44 94,44 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-03 1 1 94,44 94,44 94,44 94,44 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-04 1 1 94,45 94,45 94,45 94,45 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-05 1 1 94,46 94,46 94,46 94,46 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-06 1 1 94,46 94,46 94,46 94,46 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-07 1 1 94,46 94,46 94,46 94,46 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-10 1 1 94,46 94,46 94,46 94,46 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-11 1 1 94,47 94,47 94,47 94,47 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-12 1 1 94,47 94,47 94,47 94,47 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-13 1 1 94,49 94,49 94,49 94,49 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-14 1 1 94,49 94,49 94,49 94,49 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-17 1 1 94,5 94,5 94,5 94,5 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-18 1 1 94,51 94,51 94,51 94,51 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-19 1 1 94,52 94,52 94,52 94,52 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-20 1 1 94,53 94,53 94,53 94,53 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-21 1 1 94,54 94,54 94,54 94,54 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-24 1 1 94,54 94,54 94,54 94,54 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-25 1 1 94,54 94,54 94,54 94,54 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-26 1 1 94,54 94,54 94,54 94,54 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-27 1 1 94,55 94,55 94,55 94,55 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-28 1 1 94,55 94,55 94,55 94,55 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-10-31 1 1 94,55 94,55 94,55 94,55 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-01 1 1 94,56 94,56 94,56 94,56 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-02 1 1 94,55 94,55 94,55 94,55 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-03 1 1 94,56 94,56 94,56 94,56 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-04 1 1 94,55 94,55 94,55 94,55 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-07 1 1 94,56 94,56 94,56 94,56 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-08 1 1 94,56 94,56 94,56 94,56 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-09 1 1 94,56 94,56 94,56 94,56 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-10 1 1 94,57 94,57 94,57 94,57 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-11 1 1 94,57 94,57 94,57 94,57 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-14 1 1 94,58 94,58 94,58 94,58 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-15 1 1 94,59 94,59 94,59 94,59 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-16 1 1 94,6 94,6 94,6 94,6 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-17 1 1 94,59 94,59 94,59 94,59 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-18 1 1 94,59 94,59 94,59 94,59 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-21 1 1 94,6 94,6 94,6 94,6 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-22 1 1 94,6 94,6 94,6 94,6 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-23 1 1 94,61 94,61 94,61 94,61 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-24 1 1 94,62 94,62 94,62 94,62 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-25 1 1 94,61 94,61 94,61 94,61 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-28 1 1 94,62 94,62 94,62 94,62 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-29 1 1 94,62 94,62 94,62 94,62 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-11-30 1 1 94,62 94,62 94,62 94,62 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-01 1 1 94,62 94,62 94,62 94,62 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-02 1 1 94,61 94,61 94,61 94,61 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-05 1 1 94,61 94,61 94,61 94,61 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-06 1 1 94,61 94,61 94,61 94,61 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-07 1 1 94,61 94,61 94,61 94,61 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-08 1 1 94,61 94,61 94,61 94,61 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-12 1 1 94,62 94,62 94,62 94,62 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-13 1 1 94,63 94,63 94,63 94,63 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-14 1 1 94,64 94,64 94,64 94,64 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-15 1 1 94,64 94,64 94,64 94,64 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-16 1 1 94,64 94,64 94,64 94,64 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-19 1 1 94,66 94,66 94,66 94,66 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-20 1 1 94,66 94,66 94,66 94,66 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-21 1 1 94,66 94,66 94,66 94,66 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-22 1 1 94,66 94,66 94,66 94,66 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-23 1 1 94,68 94,68 94,68 94,68 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-27 1 1 94,7 94,7 94,7 94,7 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-28 1 1 94,7 94,7 94,7 94,7 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-29 1 1 94,7 94,7 94,7 94,7 294918 E. Öhman J:or Fonder AB Öhman Penningmarknadsfond SEK 2005-12-30 1 1 94,71 94,71 94,71 94,71 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-03 1 1 117,24 117,24 117,24 117,24 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-04 1 1 117,29 117,29 117,29 117,29 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-05 1 1 117,07 117,07 117,07 117,07 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-07 1 1 117,67 117,67 117,67 117,67 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-10 1 1 117,8 117,8 117,8 117,8 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-11 1 1 117,8 117,8 117,8 117,8 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-12 1 1 117,79 117,79 117,79 117,79 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-13 1 1 118,2 118,2 118,2 118,2 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-14 1 1 118,26 118,26 118,26 118,26 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-17 1 1 118,36 118,36 118,36 118,36 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-18 1 1 118,23 118,23 118,23 118,23 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-19 1 1 118,56 118,56 118,56 118,56 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-20 1 1 118,39 118,39 118,39 118,39 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-21 1 1 118,41 118,41 118,41 118,41 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-24 1 1 118,57 118,57 118,57 118,57 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-25 1 1 118,6 118,6 118,6 118,6 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-26 1 1 118,51 118,51 118,51 118,51 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-27 1 1 118,44 118,44 118,44 118,44 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-28 1 1 118,78 118,78 118,78 118,78 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-01-31 1 1 118,8 118,8 118,8 118,8 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-01 1 1 119,06 119,06 119,06 119,06 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-02 1 1 119,05 119,05 119,05 119,05 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-03 1 1 119,15 119,15 119,15 119,15 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-04 1 1 119,45 119,45 119,45 119,45 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-07 1 1 119,68 119,68 119,68 119,68 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-08 1 1 119,75 119,75 119,75 119,75 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-09 1 1 119,91 119,91 119,91 119,91 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-10 1 1 120,01 120,01 120,01 120,01 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-11 1 1 119,84 119,84 119,84 119,84 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-14 1 1 119,62 119,62 119,62 119,62 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-15 1 1 119,58 119,58 119,58 119,58 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-16 1 1 119,47 119,47 119,47 119,47 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-17 1 1 118,9 118,9 118,9 118,9 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-18 1 1 118,15 118,15 118,15 118,15 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-21 1 1 117,89 117,89 117,89 117,89 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-22 1 1 117,66 117,66 117,66 117,66 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-23 1 1 117,84 117,84 117,84 117,84 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-24 1 1 117,58 117,58 117,58 117,58 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-25 1 1 117,57 117,57 117,57 117,57 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-02-28 1 1 117,69 117,69 117,69 117,69 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-01 1 1 117,58 117,58 117,58 117,58 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-02 1 1 117,25 117,25 117,25 117,25 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-03 1 1 117,26 117,26 117,26 117,26 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-04 1 1 117,51 117,51 117,51 117,51 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-07 1 1 117,68 117,68 117,68 117,68 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-08 1 1 117,84 117,84 117,84 117,84 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-09 1 1 117,47 117,47 117,47 117,47 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-10 1 1 117,46 117,46 117,46 117,46 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-11 1 1 117,49 117,49 117,49 117,49 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-14 1 1 117,4 117,4 117,4 117,4 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-15 1 1 117,66 117,66 117,66 117,66 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-16 1 1 117,53 117,53 117,53 117,53 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-17 1 1 117,63 117,63 117,63 117,63 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-18 1 1 117,5 117,5 117,5 117,5 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-21 1 1 117,41 117,41 117,41 117,41 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-22 1 1 117,7 117,7 117,7 117,7 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-23 1 1 117,86 117,86 117,86 117,86 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-24 1 1 118,01 118,01 118,01 118,01 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-29 1 1 118,14 118,14 118,14 118,14 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-30 1 1 118,38 118,38 118,38 118,38 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-03-31 1 1 119,03 119,03 119,03 119,03 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-01 1 1 119,36 119,36 119,36 119,36 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-04 1 1 119,49 119,49 119,49 119,49 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-05 1 1 119,51 119,51 119,51 119,51 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-06 1 1 119,67 119,67 119,67 119,67 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-07 1 1 120,16 120,16 120,16 120,16 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-08 1 1 119,97 119,97 119,97 119,97 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-11 1 1 120,16 120,16 120,16 120,16 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-12 1 1 120,3 120,3 120,3 120,3 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-13 1 1 120,69 120,69 120,69 120,69 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-14 1 1 120,65 120,65 120,65 120,65 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-15 1 1 121,1 121,1 121,1 121,1 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-18 1 1 121,47 121,47 121,47 121,47 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-19 1 1 121,48 121,48 121,48 121,48 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-20 1 1 121,64 121,64 121,64 121,64 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-21 1 1 121,92 121,92 121,92 121,92 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-22 1 1 122,33 122,33 122,33 122,33 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-25 1 1 122,5 122,5 122,5 122,5 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-26 1 1 123,02 123,02 123,02 123,02 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-27 1 1 123,15 123,15 123,15 123,15 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-28 1 1 123,08 123,08 123,08 123,08 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-04-29 1 1 123,02 123,02 123,02 123,02 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-02 1 1 123,15 123,15 123,15 123,15 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-03 1 1 123,12 123,12 123,12 123,12 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-04 1 1 122,45 122,45 122,45 122,45 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-06 1 1 121,9 121,9 121,9 121,9 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-09 1 1 122,04 122,04 122,04 122,04 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-10 1 1 122,64 122,64 122,64 122,64 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-11 1 1 122,84 122,84 122,84 122,84 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-12 1 1 122,67 122,67 122,67 122,67 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-13 1 1 122,77 122,77 122,77 122,77 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-16 1 1 122,64 122,64 122,64 122,64 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-17 1 1 122,56 122,56 122,56 122,56 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-18 1 1 122,89 122,89 122,89 122,89 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-19 1 1 122,67 122,67 122,67 122,67 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-20 1 1 122,36 122,36 122,36 122,36 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-23 1 1 122,43 122,43 122,43 122,43 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-24 1 1 122,58 122,58 122,58 122,58 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-25 1 1 122,57 122,57 122,57 122,57 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-26 1 1 122,1 122,1 122,1 122,1 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-27 1 1 122,24 122,24 122,24 122,24 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-30 1 1 122,08 122,08 122,08 122,08 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-05-31 1 1 122,35 122,35 122,35 122,35 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-01 1 1 122,45 122,45 122,45 122,45 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-02 1 1 122,4 122,4 122,4 122,4 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-03 1 1 122,38 122,38 122,38 122,38 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-07 1 1 121,96 121,96 121,96 121,96 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-08 1 1 122,92 122,92 122,92 122,92 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-09 1 1 123,27 123,27 123,27 123,27 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-10 1 1 123,21 123,21 123,21 123,21 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-13 1 1 123,21 123,21 123,21 123,21 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-14 1 1 119,61 119,61 119,61 119,61 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-15 1 1 119,22 119,22 119,22 119,22 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-16 1 1 118,73 118,73 118,73 118,73 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-17 1 1 119,09 119,09 119,09 119,09 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-20 1 1 119,05 119,05 119,05 119,05 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-21 1 1 119,91 119,91 119,91 119,91 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-22 1 1 120,66 120,66 120,66 120,66 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-23 1 1 120,8 120,8 120,8 120,8 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-27 1 1 121,12 121,12 121,12 121,12 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-28 1 1 121 121 121 121 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-29 1 1 121,18 121,18 121,18 121,18 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-06-30 1 1 121,11 121,11 121,11 121,11 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-01 1 1 121,31 121,31 121,31 121,31 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-04 1 1 121,13 121,13 121,13 121,13 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-05 1 1 120,9 120,9 120,9 120,9 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-06 1 1 121,03 121,03 121,03 121,03 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-07 1 1 121,41 121,41 121,41 121,41 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-08 1 1 121,48 121,48 121,48 121,48 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-11 1 1 121,31 121,31 121,31 121,31 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-12 1 1 121,19 121,19 121,19 121,19 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-13 1 1 121,13 121,13 121,13 121,13 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-14 1 1 121,01 121,01 121,01 121,01 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-15 1 1 121,01 121,01 121,01 121,01 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-18 1 1 121,06 121,06 121,06 121,06 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-19 1 1 121,09 121,09 121,09 121,09 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-20 1 1 121,16 121,16 121,16 121,16 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-21 1 1 121,45 121,45 121,45 121,45 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-22 1 1 121,58 121,58 121,58 121,58 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-25 1 1 121,59 121,59 121,59 121,59 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-26 1 1 121,53 121,53 121,53 121,53 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-27 1 1 121,72 121,72 121,72 121,72 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-28 1 1 121,73 121,73 121,73 121,73 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-07-29 1 1 121,8 121,8 121,8 121,8 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-01 1 1 121,43 121,43 121,43 121,43 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-02 1 1 121,37 121,37 121,37 121,37 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-03 1 1 121,31 121,31 121,31 121,31 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-04 1 1 121,41 121,41 121,41 121,41 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-05 1 1 121,23 121,23 121,23 121,23 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-08 1 1 121,24 121,24 121,24 121,24 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-09 1 1 121,19 121,19 121,19 121,19 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-10 1 1 121,25 121,25 121,25 121,25 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-11 1 1 121,1 121,1 121,1 121,1 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-12 1 1 121,29 121,29 121,29 121,29 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-15 1 1 121,31 121,31 121,31 121,31 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-16 1 1 121,31 121,31 121,31 121,31 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-17 1 1 121,32 121,32 121,32 121,32 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-18 1 1 121,32 121,32 121,32 121,32 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-19 1 1 121,39 121,39 121,39 121,39 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-22 1 1 121,47 121,47 121,47 121,47 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-23 1 1 121,6 121,6 121,6 121,6 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-24 1 1 121,85 121,85 121,85 121,85 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-25 1 1 122,3 122,3 122,3 122,3 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-26 1 1 122,47 122,47 122,47 122,47 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-29 1 1 122,42 122,42 122,42 122,42 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-30 1 1 122,36 122,36 122,36 122,36 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-08-31 1 1 122,81 122,81 122,81 122,81 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-01 1 1 123,3 123,3 123,3 123,3 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-02 1 1 123,61 123,61 123,61 123,61 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-05 1 1 123,77 123,77 123,77 123,77 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-06 1 1 123,56 123,56 123,56 123,56 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-07 1 1 123,64 123,64 123,64 123,64 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-08 1 1 123,98 123,98 123,98 123,98 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-09 1 1 124,48 124,48 124,48 124,48 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-12 1 1 123,87 123,87 123,87 123,87 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-13 1 1 124,08 124,08 124,08 124,08 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-14 1 1 124,11 124,11 124,11 124,11 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-15 1 1 123,77 123,77 123,77 123,77 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-16 1 1 123,62 123,62 123,62 123,62 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-19 1 1 123,46 123,46 123,46 123,46 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-20 1 1 123,89 123,89 123,89 123,89 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-21 1 1 124,23 124,23 124,23 124,23 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-22 1 1 124,25 124,25 124,25 124,25 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-23 1 1 124,18 124,18 124,18 124,18 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-26 1 1 123,97 123,97 123,97 123,97 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-27 1 1 123,95 123,95 123,95 123,95 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-28 1 1 123,86 123,86 123,86 123,86 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-29 1 1 123,66 123,66 123,66 123,66 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-09-30 1 1 123,62 123,62 123,62 123,62 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-03 1 1 123,29 123,29 123,29 123,29 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-04 1 1 123,24 123,24 123,24 123,24 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-05 1 1 123,25 123,25 123,25 123,25 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-06 1 1 123,02 123,02 123,02 123,02 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-07 1 1 122,84 122,84 122,84 122,84 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-10 1 1 122,81 122,81 122,81 122,81 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-11 1 1 122,7 122,7 122,7 122,7 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-12 1 1 122,44 122,44 122,44 122,44 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-13 1 1 122,05 122,05 122,05 122,05 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-14 1 1 122,06 122,06 122,06 122,06 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-17 1 1 122,03 122,03 122,03 122,03 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-18 1 1 122,1 122,1 122,1 122,1 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-19 1 1 122,28 122,28 122,28 122,28 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-20 1 1 122 122 122 122 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-21 1 1 122,01 122,01 122,01 122,01 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-24 1 1 122,24 122,24 122,24 122,24 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-25 1 1 122,19 122,19 122,19 122,19 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-26 1 1 121,73 121,73 121,73 121,73 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-27 1 1 121,73 121,73 121,73 121,73 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-28 1 1 121,75 121,75 121,75 121,75 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-10-31 1 1 121,75 121,75 121,75 121,75 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-01 1 1 121,76 121,76 121,76 121,76 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-02 1 1 121,48 121,48 121,48 121,48 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-03 1 1 121,27 121,27 121,27 121,27 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-04 1 1 120,95 120,95 120,95 120,95 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-07 1 1 120,83 120,83 120,83 120,83 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-08 1 1 120,92 120,92 120,92 120,92 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-09 1 1 120,7 120,7 120,7 120,7 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-10 1 1 120,55 120,55 120,55 120,55 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-11 1 1 120,64 120,64 120,64 120,64 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-14 1 1 120,84 120,84 120,84 120,84 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-15 1 1 120,54 120,54 120,54 120,54 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-16 1 1 120,86 120,86 120,86 120,86 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-17 1 1 120,77 120,77 120,77 120,77 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-18 1 1 120,5 120,5 120,5 120,5 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-21 1 1 120,64 120,64 120,64 120,64 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-22 1 1 120,67 120,67 120,67 120,67 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-23 1 1 120,87 120,87 120,87 120,87 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-24 1 1 121,48 121,48 121,48 121,48 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-25 1 1 121,45 121,45 121,45 121,45 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-28 1 1 121,47 121,47 121,47 121,47 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-29 1 1 121,5 121,5 121,5 121,5 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-11-30 1 1 121,35 121,35 121,35 121,35 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-01 1 1 121,73 121,73 121,73 121,73 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-02 1 1 121,2 121,2 121,2 121,2 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-05 1 1 120,87 120,87 120,87 120,87 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-06 1 1 120,88 120,88 120,88 120,88 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-07 1 1 121 121 121 121 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-08 1 1 120,83 120,83 120,83 120,83 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-12 1 1 120,69 120,69 120,69 120,69 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-13 1 1 120,77 120,77 120,77 120,77 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-14 1 1 120,96 120,96 120,96 120,96 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-15 1 1 120,96 120,96 120,96 120,96 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-16 1 1 121,08 121,08 121,08 121,08 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-19 1 1 121,17 121,17 121,17 121,17 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-20 1 1 120,94 120,94 120,94 120,94 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-21 1 1 120,93 120,93 120,93 120,93 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-22 1 1 121,03 121,03 121,03 121,03 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-23 1 1 121,1 121,1 121,1 121,1 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-27 1 1 121,3 121,3 121,3 121,3 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-28 1 1 121,31 121,31 121,31 121,31 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-29 1 1 121,46 121,46 121,46 121,46 787382 E. Öhman J:or Fonder AB Öhman Realobligationsfond SEK 2005-12-30 1 1 121,65 121,65 121,65 121,65 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-03 1 1 257,07 257,07 257,07 257,07 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-04 1 1 258,67 258,67 258,67 258,67 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-05 1 1 256,36 256,36 256,36 256,36 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-07 1 1 257,05 257,05 257,05 257,05 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-10 1 1 260 260 260 260 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-11 1 1 257,67 257,67 257,67 257,67 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-12 1 1 253,81 253,81 253,81 253,81 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-13 1 1 254,73 254,73 254,73 254,73 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-14 1 1 255,84 255,84 255,84 255,84 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-17 1 1 256,97 256,97 256,97 256,97 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-18 1 1 256,65 256,65 256,65 256,65 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-19 1 1 257,64 257,64 257,64 257,64 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-20 1 1 255,34 255,34 255,34 255,34 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-21 1 1 254,72 254,72 254,72 254,72 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-24 1 1 252,72 252,72 252,72 252,72 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-25 1 1 255,5 255,5 255,5 255,5 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-26 1 1 255,37 255,37 255,37 255,37 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-27 1 1 255,3 255,3 255,3 255,3 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-28 1 1 253,42 253,42 253,42 253,42 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-01-31 1 1 255,99 255,99 255,99 255,99 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-01 1 1 258,17 258,17 258,17 258,17 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-02 1 1 259,2 259,2 259,2 259,2 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-03 1 1 257,91 257,91 257,91 257,91 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-04 1 1 260,48 260,48 260,48 260,48 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-07 1 1 263,26 263,26 263,26 263,26 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-08 1 1 262,55 262,55 262,55 262,55 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-09 1 1 263,52 263,52 263,52 263,52 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-10 1 1 259,8 259,8 259,8 259,8 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-11 1 1 262,94 262,94 262,94 262,94 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-14 1 1 263,21 263,21 263,21 263,21 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-15 1 1 264,62 264,62 264,62 264,62 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-16 1 1 263,31 263,31 263,31 263,31 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-17 1 1 263,45 263,45 263,45 263,45 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-18 1 1 261,61 261,61 261,61 261,61 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-21 1 1 262,55 262,55 262,55 262,55 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-22 1 1 261,44 261,44 261,44 261,44 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-23 1 1 260,6 260,6 260,6 260,6 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-24 1 1 261,43 261,43 261,43 261,43 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-25 1 1 264,14 264,14 264,14 264,14 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-02-28 1 1 264,2 264,2 264,2 264,2 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-01 1 1 264,4 264,4 264,4 264,4 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-02 1 1 265,5 265,5 265,5 265,5 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-03 1 1 265,41 265,41 265,41 265,41 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-04 1 1 268,24 268,24 268,24 268,24 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-07 1 1 266,98 266,98 266,98 266,98 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-08 1 1 265,22 265,22 265,22 265,22 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-09 1 1 265 265 265 265 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-10 1 1 262,75 262,75 262,75 262,75 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-11 1 1 264,13 264,13 264,13 264,13 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-14 1 1 264,85 264,85 264,85 264,85 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-15 1 1 266,33 266,33 266,33 266,33 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-16 1 1 262,29 262,29 262,29 262,29 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-17 1 1 262,6 262,6 262,6 262,6 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-18 1 1 261,59 261,59 261,59 261,59 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-21 1 1 260,66 260,66 260,66 260,66 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-22 1 1 262,52 262,52 262,52 262,52 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-23 1 1 261,92 261,92 261,92 261,92 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-24 1 1 262,62 262,62 262,62 262,62 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-29 1 1 262,94 262,94 262,94 262,94 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-30 1 1 262,15 262,15 262,15 262,15 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-03-31 1 1 262,92 262,92 262,92 262,92 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-01 1 1 265,45 265,45 265,45 265,45 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-04 1 1 264,82 264,82 264,82 264,82 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-05 1 1 268,17 268,17 268,17 268,17 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-06 1 1 269,9 269,9 269,9 269,9 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-07 1 1 270,81 270,81 270,81 270,81 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-08 1 1 271,99 271,99 271,99 271,99 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-11 1 1 272,77 272,77 272,77 272,77 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-12 1 1 271,38 271,38 271,38 271,38 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-13 1 1 273,13 273,13 273,13 273,13 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-14 1 1 274,72 274,72 274,72 274,72 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-15 1 1 270,83 270,83 270,83 270,83 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-18 1 1 266,32 266,32 266,32 266,32 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-19 1 1 267,31 267,31 267,31 267,31 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-20 1 1 268,05 268,05 268,05 268,05 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-21 1 1 268,02 268,02 268,02 268,02 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-22 1 1 271,24 271,24 271,24 271,24 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-25 1 1 270,28 270,28 270,28 270,28 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-26 1 1 267,6 267,6 267,6 267,6 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-27 1 1 261,82 261,82 261,82 261,82 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-28 1 1 259,35 259,35 259,35 259,35 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-04-29 1 1 260,15 260,15 260,15 260,15 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-02 1 1 261,76 261,76 261,76 261,76 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-03 1 1 261,89 261,89 261,89 261,89 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-04 1 1 261,88 261,88 261,88 261,88 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-06 1 1 264,81 264,81 264,81 264,81 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-09 1 1 264,77 264,77 264,77 264,77 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-10 1 1 263,21 263,21 263,21 263,21 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-11 1 1 262,74 262,74 262,74 262,74 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-12 1 1 264,33 264,33 264,33 264,33 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-13 1 1 264,65 264,65 264,65 264,65 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-16 1 1 264,91 264,91 264,91 264,91 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-17 1 1 266,34 266,34 266,34 266,34 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-18 1 1 268,29 268,29 268,29 268,29 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-19 1 1 269,06 269,06 269,06 269,06 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-20 1 1 269,98 269,98 269,98 269,98 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-23 1 1 269,35 269,35 269,35 269,35 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-24 1 1 269,53 269,53 269,53 269,53 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-25 1 1 269,45 269,45 269,45 269,45 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-26 1 1 271,44 271,44 271,44 271,44 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-27 1 1 272,05 272,05 272,05 272,05 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-30 1 1 272,69 272,69 272,69 272,69 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-05-31 1 1 272,51 272,51 272,51 272,51 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-01 1 1 272,82 272,82 272,82 272,82 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-02 1 1 272,52 272,52 272,52 272,52 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-03 1 1 271,33 271,33 271,33 271,33 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-07 1 1 273,32 273,32 273,32 273,32 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-08 1 1 274,32 274,32 274,32 274,32 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-09 1 1 274,17 274,17 274,17 274,17 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-10 1 1 275,61 275,61 275,61 275,61 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-13 1 1 276,83 276,83 276,83 276,83 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-14 1 1 274,26 274,26 274,26 274,26 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-15 1 1 272,71 272,71 272,71 272,71 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-16 1 1 273,72 273,72 273,72 273,72 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-17 1 1 274,63 274,63 274,63 274,63 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-20 1 1 274,69 274,69 274,69 274,69 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-21 1 1 276,06 276,06 276,06 276,06 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-22 1 1 276,61 276,61 276,61 276,61 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-23 1 1 279,09 279,09 279,09 279,09 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-27 1 1 274,35 274,35 274,35 274,35 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-28 1 1 275,72 275,72 275,72 275,72 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-29 1 1 278,12 278,12 278,12 278,12 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-06-30 1 1 278,41 278,41 278,41 278,41 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-01 1 1 280,14 280,14 280,14 280,14 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-04 1 1 281,39 281,39 281,39 281,39 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-05 1 1 281,11 281,11 281,11 281,11 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-06 1 1 280,8 280,8 280,8 280,8 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-07 1 1 276,66 276,66 276,66 276,66 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-08 1 1 281,18 281,18 281,18 281,18 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-11 1 1 285,4 285,4 285,4 285,4 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-12 1 1 285,88 285,88 285,88 285,88 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-13 1 1 286,63 286,63 286,63 286,63 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-14 1 1 287,38 287,38 287,38 287,38 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-15 1 1 286,66 286,66 286,66 286,66 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-18 1 1 286,59 286,59 286,59 286,59 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-19 1 1 287,07 287,07 287,07 287,07 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-20 1 1 285,78 285,78 285,78 285,78 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-21 1 1 287,02 287,02 287,02 287,02 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-22 1 1 288,31 288,31 288,31 288,31 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-25 1 1 288,26 288,26 288,26 288,26 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-26 1 1 289,4 289,4 289,4 289,4 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-27 1 1 290,91 290,91 290,91 290,91 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-28 1 1 292,59 292,59 292,59 292,59 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-07-29 1 1 293,27 293,27 293,27 293,27 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-01 1 1 294,05 294,05 294,05 294,05 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-02 1 1 296,09 296,09 296,09 296,09 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-03 1 1 295,24 295,24 295,24 295,24 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-04 1 1 293,34 293,34 293,34 293,34 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-05 1 1 292,3 292,3 292,3 292,3 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-08 1 1 291,75 291,75 291,75 291,75 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-09 1 1 292,76 292,76 292,76 292,76 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-10 1 1 296,4 296,4 296,4 296,4 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-11 1 1 295,26 295,26 295,26 295,26 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-12 1 1 294,25 294,25 294,25 294,25 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-15 1 1 293,93 293,93 293,93 293,93 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-16 1 1 293,17 293,17 293,17 293,17 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-17 1 1 292,81 292,81 292,81 292,81 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-18 1 1 293,95 293,95 293,95 293,95 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-19 1 1 295,94 295,94 295,94 295,94 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-22 1 1 296,57 296,57 296,57 296,57 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-23 1 1 294,12 294,12 294,12 294,12 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-24 1 1 291,05 291,05 291,05 291,05 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-25 1 1 287,72 287,72 287,72 287,72 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-26 1 1 286,28 286,28 286,28 286,28 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-29 1 1 287,66 287,66 287,66 287,66 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-30 1 1 288,34 288,34 288,34 288,34 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-08-31 1 1 290,67 290,67 290,67 290,67 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-01 1 1 291,22 291,22 291,22 291,22 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-02 1 1 291,31 291,31 291,31 291,31 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-05 1 1 292,63 292,63 292,63 292,63 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-06 1 1 293,97 293,97 293,97 293,97 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-07 1 1 294,84 294,84 294,84 294,84 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-08 1 1 294,05 294,05 294,05 294,05 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-09 1 1 296,02 296,02 296,02 296,02 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-12 1 1 296,46 296,46 296,46 296,46 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-13 1 1 296,23 296,23 296,23 296,23 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-14 1 1 297,97 297,97 297,97 297,97 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-15 1 1 296,89 296,89 296,89 296,89 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-16 1 1 297,73 297,73 297,73 297,73 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-19 1 1 298,53 298,53 298,53 298,53 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-20 1 1 298,35 298,35 298,35 298,35 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-21 1 1 296,29 296,29 296,29 296,29 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-22 1 1 296,41 296,41 296,41 296,41 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-23 1 1 296,91 296,91 296,91 296,91 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-26 1 1 300,28 300,28 300,28 300,28 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-27 1 1 300,56 300,56 300,56 300,56 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-28 1 1 303,38 303,38 303,38 303,38 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-29 1 1 303,56 303,56 303,56 303,56 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-09-30 1 1 304,92 304,92 304,92 304,92 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-03 1 1 306,65 306,65 306,65 306,65 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-04 1 1 305,77 305,77 305,77 305,77 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-05 1 1 303,85 303,85 303,85 303,85 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-06 1 1 300,4 300,4 300,4 300,4 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-07 1 1 300,96 300,96 300,96 300,96 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-10 1 1 302,56 302,56 302,56 302,56 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-11 1 1 303,25 303,25 303,25 303,25 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-12 1 1 300,73 300,73 300,73 300,73 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-13 1 1 297,7 297,7 297,7 297,7 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-14 1 1 297,39 297,39 297,39 297,39 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-17 1 1 296,97 296,97 296,97 296,97 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-18 1 1 295,47 295,47 295,47 295,47 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-19 1 1 291,35 291,35 291,35 291,35 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-20 1 1 292,24 292,24 292,24 292,24 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-21 1 1 289,16 289,16 289,16 289,16 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-24 1 1 293,11 293,11 293,11 293,11 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-25 1 1 295,7 295,7 295,7 295,7 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-26 1 1 296,81 296,81 296,81 296,81 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-27 1 1 293,03 293,03 293,03 293,03 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-28 1 1 292,69 292,69 292,69 292,69 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-10-31 1 1 299,95 299,95 299,95 299,95 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-01 1 1 300,28 300,28 300,28 300,28 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-02 1 1 301,56 301,56 301,56 301,56 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-03 1 1 304,09 304,09 304,09 304,09 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-04 1 1 304,09 304,09 304,09 304,09 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-07 1 1 306,14 306,14 306,14 306,14 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-08 1 1 305,03 305,03 305,03 305,03 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-09 1 1 305,3 305,3 305,3 305,3 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-10 1 1 305,72 305,72 305,72 305,72 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-11 1 1 309,29 309,29 309,29 309,29 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-14 1 1 310,19 310,19 310,19 310,19 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-15 1 1 310,38 310,38 310,38 310,38 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-16 1 1 310,15 310,15 310,15 310,15 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-17 1 1 310,91 310,91 310,91 310,91 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-18 1 1 311,9 311,9 311,9 311,9 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-21 1 1 313,28 313,28 313,28 313,28 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-22 1 1 312,07 312,07 312,07 312,07 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-23 1 1 313,53 313,53 313,53 313,53 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-24 1 1 312,77 312,77 312,77 312,77 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-25 1 1 313,64 313,64 313,64 313,64 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-28 1 1 314,57 314,57 314,57 314,57 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-29 1 1 314 314 314 314 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-11-30 1 1 312,16 312,16 312,16 312,16 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-01 1 1 316,25 316,25 316,25 316,25 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-02 1 1 319,08 319,08 319,08 319,08 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-05 1 1 317,53 317,53 317,53 317,53 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-06 1 1 319,77 319,77 319,77 319,77 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-07 1 1 320,58 320,58 320,58 320,58 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-08 1 1 321,58 321,58 321,58 321,58 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-12 1 1 322,48 322,48 322,48 322,48 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-13 1 1 322,37 322,37 322,37 322,37 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-14 1 1 320,98 320,98 320,98 320,98 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-15 1 1 320,78 320,78 320,78 320,78 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-16 1 1 322,85 322,85 322,85 322,85 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-19 1 1 323,64 323,64 323,64 323,64 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-20 1 1 323,55 323,55 323,55 323,55 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-21 1 1 325,55 325,55 325,55 325,55 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-22 1 1 326,68 326,68 326,68 326,68 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-23 1 1 328,93 328,93 328,93 328,93 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-27 1 1 331,35 331,35 331,35 331,35 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-28 1 1 329,92 329,92 329,92 329,92 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-29 1 1 331,86 331,86 331,86 331,86 928937 E. Öhman J:or Fonder AB Öhman Sverigefond SEK 2005-12-30 1 1 330,78 330,78 330,78 330,78 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-03 1 1 68,06 68,06 68,06 68,06 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-04 1 1 68,68 68,68 68,68 68,68 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-05 1 1 68,1 68,1 68,1 68,1 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-07 1 1 68,74 68,74 68,74 68,74 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-10 1 1 68,81 68,81 68,81 68,81 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-11 1 1 68,21 68,21 68,21 68,21 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-12 1 1 67,62 67,62 67,62 67,62 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-13 1 1 67,96 67,96 67,96 67,96 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-14 1 1 68,53 68,53 68,53 68,53 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-17 1 1 68,84 68,84 68,84 68,84 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-18 1 1 68,93 68,93 68,93 68,93 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-19 1 1 69,02 69,02 69,02 69,02 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-20 1 1 68,78 68,78 68,78 68,78 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-21 1 1 68,45 68,45 68,45 68,45 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-24 1 1 68,37 68,37 68,37 68,37 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-25 1 1 69 69 69 69 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-26 1 1 68,67 68,67 68,67 68,67 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-27 1 1 69,05 69,05 69,05 69,05 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-28 1 1 69 69 69 69 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-01-31 1 1 69,45 69,45 69,45 69,45 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-01 1 1 69,63 69,63 69,63 69,63 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-02 1 1 69,81 69,81 69,81 69,81 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-03 1 1 69,98 69,98 69,98 69,98 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-04 1 1 70,4 70,4 70,4 70,4 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-07 1 1 71,13 71,13 71,13 71,13 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-08 1 1 71,17 71,17 71,17 71,17 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-09 1 1 70,53 70,53 70,53 70,53 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-10 1 1 70,17 70,17 70,17 70,17 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-11 1 1 70,74 70,74 70,74 70,74 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-14 1 1 70,39 70,39 70,39 70,39 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-15 1 1 70,61 70,61 70,61 70,61 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-16 1 1 70,58 70,58 70,58 70,58 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-17 1 1 70,41 70,41 70,41 70,41 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-18 1 1 70,58 70,58 70,58 70,58 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-21 1 1 70,55 70,55 70,55 70,55 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-22 1 1 69,7 69,7 69,7 69,7 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-23 1 1 69,38 69,38 69,38 69,38 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-24 1 1 69,35 69,35 69,35 69,35 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-25 1 1 69,59 69,59 69,59 69,59 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-02-28 1 1 69,5 69,5 69,5 69,5 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-01 1 1 69,69 69,69 69,69 69,69 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-02 1 1 70,42 70,42 70,42 70,42 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-03 1 1 70 70 70 70 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-04 1 1 70,09 70,09 70,09 70,09 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-07 1 1 70,32 70,32 70,32 70,32 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-08 1 1 69,49 69,49 69,49 69,49 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-09 1 1 69,5 69,5 69,5 69,5 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-10 1 1 69,13 69,13 69,13 69,13 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-11 1 1 69,19 69,19 69,19 69,19 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-14 1 1 69,53 69,53 69,53 69,53 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-15 1 1 69,88 69,88 69,88 69,88 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-16 1 1 69,02 69,02 69,02 69,02 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-17 1 1 69,44 69,44 69,44 69,44 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-18 1 1 69,62 69,62 69,62 69,62 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-21 1 1 69,79 69,79 69,79 69,79 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-22 1 1 69,63 69,63 69,63 69,63 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-23 1 1 69,74 69,74 69,74 69,74 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-24 1 1 69,72 69,72 69,72 69,72 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-29 1 1 70,09 70,09 70,09 70,09 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-30 1 1 69,97 69,97 69,97 69,97 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-03-31 1 1 70,34 70,34 70,34 70,34 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-01 1 1 70,94 70,94 70,94 70,94 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-04 1 1 70,73 70,73 70,73 70,73 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-05 1 1 71,07 71,07 71,07 71,07 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-06 1 1 71,48 71,48 71,48 71,48 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-07 1 1 71,29 71,29 71,29 71,29 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-08 1 1 71,68 71,68 71,68 71,68 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-11 1 1 71,14 71,14 71,14 71,14 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-12 1 1 70,98 70,98 70,98 70,98 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-13 1 1 71,4 71,4 71,4 71,4 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-14 1 1 71,6 71,6 71,6 71,6 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-15 1 1 70,72 70,72 70,72 70,72 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-18 1 1 69,43 69,43 69,43 69,43 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-19 1 1 69,79 69,79 69,79 69,79 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-20 1 1 69,33 69,33 69,33 69,33 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-21 1 1 69,24 69,24 69,24 69,24 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-22 1 1 69,54 69,54 69,54 69,54 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-25 1 1 69,73 69,73 69,73 69,73 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-26 1 1 69,9 69,9 69,9 69,9 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-27 1 1 69,28 69,28 69,28 69,28 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-28 1 1 69,43 69,43 69,43 69,43 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-04-29 1 1 69,49 69,49 69,49 69,49 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-02 1 1 70,48 70,48 70,48 70,48 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-03 1 1 70,3 70,3 70,3 70,3 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-04 1 1 70,27 70,27 70,27 70,27 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-06 1 1 71,19 71,19 71,19 71,19 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-09 1 1 70,96 70,96 70,96 70,96 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-10 1 1 70,78 70,78 70,78 70,78 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-11 1 1 71,09 71,09 71,09 71,09 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-12 1 1 71,44 71,44 71,44 71,44 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-13 1 1 71,58 71,58 71,58 71,58 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-16 1 1 71,72 71,72 71,72 71,72 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-17 1 1 71,38 71,38 71,38 71,38 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-18 1 1 71,98 71,98 71,98 71,98 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-19 1 1 72,73 72,73 72,73 72,73 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-20 1 1 72,93 72,93 72,93 72,93 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-23 1 1 72,91 72,91 72,91 72,91 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-24 1 1 72,77 72,77 72,77 72,77 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-25 1 1 72,52 72,52 72,52 72,52 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-26 1 1 73,28 73,28 73,28 73,28 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-27 1 1 73,29 73,29 73,29 73,29 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-30 1 1 73,54 73,54 73,54 73,54 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-05-31 1 1 73,58 73,58 73,58 73,58 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-01 1 1 74,67 74,67 74,67 74,67 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-02 1 1 74,58 74,58 74,58 74,58 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-03 1 1 74,52 74,52 74,52 74,52 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-07 1 1 74,74 74,74 74,74 74,74 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-08 1 1 74,75 74,75 74,75 74,75 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-09 1 1 75,17 75,17 75,17 75,17 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-10 1 1 76 76 76 76 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-13 1 1 76,6 76,6 76,6 76,6 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-14 1 1 76,49 76,49 76,49 76,49 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-15 1 1 76,22 76,22 76,22 76,22 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-16 1 1 76,48 76,48 76,48 76,48 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-17 1 1 75,66 75,66 75,66 75,66 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-20 1 1 76,04 76,04 76,04 76,04 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-21 1 1 76,41 76,41 76,41 76,41 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-22 1 1 76,7 76,7 76,7 76,7 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-23 1 1 77,35 77,35 77,35 77,35 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-27 1 1 76,06 76,06 76,06 76,06 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-28 1 1 76,8 76,8 76,8 76,8 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-29 1 1 77,43 77,43 77,43 77,43 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-06-30 1 1 77,02 77,02 77,02 77,02 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-01 1 1 77,84 77,84 77,84 77,84 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-04 1 1 77,94 77,94 77,94 77,94 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-05 1 1 77,55 77,55 77,55 77,55 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-06 1 1 77,42 77,42 77,42 77,42 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-07 1 1 76,37 76,37 76,37 76,37 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-08 1 1 77,78 77,78 77,78 77,78 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-11 1 1 78,34 78,34 78,34 78,34 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-12 1 1 78,08 78,08 78,08 78,08 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-13 1 1 78,45 78,45 78,45 78,45 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-14 1 1 79,05 79,05 79,05 79,05 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-15 1 1 78,85 78,85 78,85 78,85 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-18 1 1 78,73 78,73 78,73 78,73 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-19 1 1 79,14 79,14 79,14 79,14 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-20 1 1 79,15 79,15 79,15 79,15 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-21 1 1 79,1 79,1 79,1 79,1 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-22 1 1 79,01 79,01 79,01 79,01 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-25 1 1 79,38 79,38 79,38 79,38 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-26 1 1 79,58 79,58 79,58 79,58 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-27 1 1 79,62 79,62 79,62 79,62 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-28 1 1 79,52 79,52 79,52 79,52 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-07-29 1 1 79,3 79,3 79,3 79,3 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-01 1 1 78,81 78,81 78,81 78,81 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-02 1 1 78,83 78,83 78,83 78,83 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-03 1 1 79,13 79,13 79,13 79,13 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-04 1 1 78,26 78,26 78,26 78,26 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-05 1 1 77,94 77,94 77,94 77,94 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-08 1 1 77,78 77,78 77,78 77,78 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-09 1 1 78,15 78,15 78,15 78,15 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-10 1 1 78,59 78,59 78,59 78,59 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-11 1 1 77,91 77,91 77,91 77,91 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-12 1 1 77,85 77,85 77,85 77,85 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-15 1 1 77,91 77,91 77,91 77,91 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-16 1 1 77,91 77,91 77,91 77,91 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-17 1 1 77,89 77,89 77,89 77,89 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-18 1 1 78,2 78,2 78,2 78,2 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-19 1 1 79,02 79,02 79,02 79,02 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-22 1 1 78,96 78,96 78,96 78,96 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-23 1 1 78,44 78,44 78,44 78,44 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-24 1 1 77,88 77,88 77,88 77,88 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-25 1 1 77,23 77,23 77,23 77,23 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-26 1 1 76,69 76,69 76,69 76,69 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-29 1 1 77,06 77,06 77,06 77,06 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-30 1 1 77,28 77,28 77,28 77,28 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-08-31 1 1 77,38 77,38 77,38 77,38 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-01 1 1 77,07 77,07 77,07 77,07 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-02 1 1 76,46 76,46 76,46 76,46 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-05 1 1 76,87 76,87 76,87 76,87 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-06 1 1 77,72 77,72 77,72 77,72 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-07 1 1 78,21 78,21 78,21 78,21 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-08 1 1 78,36 78,36 78,36 78,36 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-09 1 1 78,68 78,68 78,68 78,68 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-12 1 1 79,22 79,22 79,22 79,22 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-13 1 1 78,95 78,95 78,95 78,95 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-14 1 1 78,91 78,91 78,91 78,91 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-15 1 1 79,11 79,11 79,11 79,11 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-16 1 1 79,59 79,59 79,59 79,59 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-19 1 1 79,77 79,77 79,77 79,77 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-20 1 1 79,75 79,75 79,75 79,75 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-21 1 1 79,02 79,02 79,02 79,02 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-22 1 1 78,99 78,99 78,99 78,99 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-23 1 1 79,54 79,54 79,54 79,54 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-26 1 1 80,25 80,25 80,25 80,25 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-27 1 1 79,89 79,89 79,89 79,89 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-28 1 1 80,49 80,49 80,49 80,49 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-29 1 1 79,94 79,94 79,94 79,94 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-09-30 1 1 79,89 79,89 79,89 79,89 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-03 1 1 80,79 80,79 80,79 80,79 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-04 1 1 80,87 80,87 80,87 80,87 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-05 1 1 80,14 80,14 80,14 80,14 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-06 1 1 78,92 78,92 78,92 78,92 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-07 1 1 78,87 78,87 78,87 78,87 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-10 1 1 79,37 79,37 79,37 79,37 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-11 1 1 79,69 79,69 79,69 79,69 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-12 1 1 79,15 79,15 79,15 79,15 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-13 1 1 79,16 79,16 79,16 79,16 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-14 1 1 79,09 79,09 79,09 79,09 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-17 1 1 79,29 79,29 79,29 79,29 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-18 1 1 79,19 79,19 79,19 79,19 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-19 1 1 78,19 78,19 78,19 78,19 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-20 1 1 79,22 79,22 79,22 79,22 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-21 1 1 78,62 78,62 78,62 78,62 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-24 1 1 79,45 79,45 79,45 79,45 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-25 1 1 79,1 79,1 79,1 79,1 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-26 1 1 79,34 79,34 79,34 79,34 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-27 1 1 78,38 78,38 78,38 78,38 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-28 1 1 78,32 78,32 78,32 78,32 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-10-31 1 1 80,47 80,47 80,47 80,47 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-01 1 1 80,9 80,9 80,9 80,9 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-02 1 1 81,38 81,38 81,38 81,38 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-03 1 1 82,12 82,12 82,12 82,12 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-04 1 1 82,26 82,26 82,26 82,26 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-07 1 1 82,85 82,85 82,85 82,85 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-08 1 1 82,43 82,43 82,43 82,43 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-09 1 1 82,95 82,95 82,95 82,95 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-10 1 1 83,05 83,05 83,05 83,05 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-11 1 1 83,35 83,35 83,35 83,35 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-14 1 1 83,5 83,5 83,5 83,5 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-15 1 1 83,59 83,59 83,59 83,59 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-16 1 1 83,19 83,19 83,19 83,19 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-17 1 1 83,31 83,31 83,31 83,31 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-18 1 1 83,71 83,71 83,71 83,71 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-21 1 1 83,44 83,44 83,44 83,44 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-22 1 1 83,39 83,39 83,39 83,39 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-23 1 1 83,35 83,35 83,35 83,35 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-24 1 1 83,51 83,51 83,51 83,51 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-25 1 1 83,57 83,57 83,57 83,57 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-28 1 1 83,07 83,07 83,07 83,07 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-29 1 1 83,49 83,49 83,49 83,49 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-11-30 1 1 83,43 83,43 83,43 83,43 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-01 1 1 83,79 83,79 83,79 83,79 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-02 1 1 83,66 83,66 83,66 83,66 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-05 1 1 83,29 83,29 83,29 83,29 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-06 1 1 83,61 83,61 83,61 83,61 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-07 1 1 83,89 83,89 83,89 83,89 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-08 1 1 84,02 84,02 84,02 84,02 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-12 1 1 83,96 83,96 83,96 83,96 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-13 1 1 83,91 83,91 83,91 83,91 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-14 1 1 83,49 83,49 83,49 83,49 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-15 1 1 83,84 83,84 83,84 83,84 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-16 1 1 84,12 84,12 84,12 84,12 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-19 1 1 83,6 83,6 83,6 83,6 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-20 1 1 83,87 83,87 83,87 83,87 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-21 1 1 84,28 84,28 84,28 84,28 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-22 1 1 84,37 84,37 84,37 84,37 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-23 1 1 84,54 84,54 84,54 84,54 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-27 1 1 84,72 84,72 84,72 84,72 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-28 1 1 83,86 83,86 83,86 83,86 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-29 1 1 84,41 84,41 84,41 84,41 964767 E. Öhman J:or Fonder AB Öhman Varumärkesfond SEK 2005-12-30 1 1 83,98 83,98 83,98 83,98